0001752724-20-173847.txt : 20200826 0001752724-20-173847.hdr.sgml : 20200826 20200826144437 ACCESSION NUMBER: 0001752724-20-173847 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200630 FILED AS OF DATE: 20200826 PERIOD START: 20210331 FILER: COMPANY DATA: COMPANY CONFORMED NAME: TIAA-CREF FUNDS CENTRAL INDEX KEY: 0001084380 IRS NUMBER: 134055167 STATE OF INCORPORATION: DE FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-09301 FILM NUMBER: 201136656 BUSINESS ADDRESS: STREET 1: 730 THIRD AVE. CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 2129166746 MAIL ADDRESS: STREET 1: 730 THIRD AVE. 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DBT CORP NL Y 2 2024-09-30 Fixed 6.75000000 N N N N N N WASTE MANAGEMENT INC 549300YX8JIID70NFS41 Waste Management, Inc 94106LBC2 550000.00000000 PA USD 657475.86000000 0.009233572334 Long DBT CORP US N 2 2045-03-01 Fixed 4.10000000 N N N N N N Avis Budget Rental Car Funding IHXLB8SL0QWSSG2VG640 Avis Budget Rental Car Funding AESOP LLC 05377RDG6 4000000.00000000 PA USD 4012900.00000000 0.056357053810 Long ABS-O CORP US Y 2 2023-03-20 Fixed 3.45000000 N N N N N N Federal Home Loan Bank Discount Notes 2549001DPIFGXC1TOL40 Federal Home Loan Bank (FHLB) 313384ZJ1 25000000.00000000 PA USD 24998916.75000000 0.351084077968 Long STIV USGSE US N 2 N N N ARAB REPUBLIC OF EGYPT 529900GFIVH4086NMH82 Egypt Government International Bond 03846JX62 1875000.00000000 PA USD 1842866.91000000 0.025881170627 Long DBT NUSS EG Y 2 2050-05-29 Fixed 8.87500000 N N N N N N Sierra Receivables Funding Co N/A Sierra Timeshare Receivables Funding LLC 82652KAA2 3468908.98000000 PA USD 3445593.75000000 0.048389820921 Long ABS-O CORP US Y 2 2034-03-20 Fixed 2.91000000 N N N N N N AMSR Trust N/A AMSR Trust 00178XAD5 1700000.00000000 PA USD 1685504.27000000 0.023671174173 Long ABS-O CORP US Y 2 2039-01-19 Variable 3.24700000 N N N N N N VIRGINIA ELEC & POWER CO CQKUMNNZVDJLRYV2PT43 Virginia Electric & Power Co 927804FZ2 6000000.00000000 PA USD 6958204.86000000 0.097720831747 Long DBT CORP US N 2 2028-04-01 Fixed 3.80000000 N N N N N N TEXAS INSTRUMENTS INC WDJNR2L6D8RWOEB8T652 Texas Instruments, Inc 882508BB9 1100000.00000000 PA USD 1181575.65000000 0.016594014923 Long DBT CORP US N 2 2024-05-15 Fixed 2.62500000 N N N N N N BENCHMARK Mortgage Trust N/A Benchmark Mortgage Trust 08162QCG2 2500000.00000000 PA USD 2713044.50000000 0.038101920027 Long ABS-MBS USGSE US Y 2 2048-09-15 Variable 3.22941600 N N N N N N Freddie Mac N/A Federal Home Loan Mortgage Corp Gold (FGLMC) 3132XCRV9 29913355.51000000 PA USD 32671808.41000000 0.458841950869 Long ABS-MBS MUN US N 2 2046-08-01 Fixed 3.50000000 N N N N N N Structured Asset Investment Lo N/A Structured Asset Investment Loan Trust 86358ELT1 1116909.07000000 PA USD 1086065.29000000 0.015252670136 Long ABS-O CORP US N 2 2034-09-25 Variable 1.18450000 N N N N N N ENERGY TRANSFER OPERATNG 5493008K8W3OKZE54J59 Energy Transfer Operating LP 29278NAG8 8000000.00000000 PA USD 8730185.60000000 0.122606479013 Long DBT CORP US N 2 2029-04-15 Fixed 5.25000000 N N N N N N CHICAGO IL HSG AUTH N/A Chicago Housing Authority 16753QAY3 990000.00000000 PA USD 1079476.20000000 0.015160133143 Long DBT MUN US N 2 2025-01-01 Fixed 3.68200000 N N N N N N Countrywide Home Loans N/A CHL Mortgage Pass-Through Trust 12669GHG9 367540.70000000 PA USD 358203.70000000 0.005030602605 Long ABS-CBDO USGSE US N 2 2035-02-20 Variable 3.63330000 N N N N N N HSBC HOLDINGS PLC MLU0ZO3ML4LN2LL2TL39 HSBC Holdings plc 404280BZ1 1625000.00000000 PA USD 1755681.49000000 0.024656741061 Long DBT CORP GB N 2 2025-03-11 Fixed 3.80300000 N N N N N N Sierra Receivables Funding Co N/A Sierra Timeshare Receivables Funding LLC 82652NAC2 3341983.57000000 PA USD 3081825.52000000 0.043281070214 Long ABS-O CORP US Y 2 2036-08-20 Fixed 3.00000000 N N N N N N Morgan Stanley Capital I Trust N/A Morgan Stanley Capital I Trust 61767YAZ3 1000000.00000000 PA USD 1170503.50000000 0.016438517963 Long ABS-MBS USGSE US N 2 2051-07-15 Fixed 4.17700000 N N N N N N COMM Mortgage Trust N/A COMM Mortgage Trust 12592GBJ1 1500000.00000000 PA USD 1442865.45000000 0.020263561465 Long ABS-MBS USGSE US N 2 2047-08-10 Variable 4.88778600 N N N N N N AON PLC 635400FALWQYX5E6QC64 Aon plc 00185AAF1 3740000.00000000 PA USD 4074718.93000000 0.057225237110 Long DBT CORP IE N 2 2024-06-14 Fixed 3.50000000 N N N N N N PETSMART INC N/A PetSmart, Inc 716768AC0 500000.00000000 PA USD 500937.50000000 0.007035152045 Long DBT CORP US Y 2 2025-06-01 Fixed 5.87500000 N N N N N N United States Treasury Bill 254900HROIFWPRGM1V77 United States Treasury Bill 912796WW5 56475000.00000000 PA USD 56473400.06000000 0.793110829085 Long STIV UST US N 2 N N N EXELON GENERATION CO LLC S2PEWKCZFFECR4533P43 Exelon Generation Co LLC 30161MAR4 2975000.00000000 PA USD 3091862.52000000 0.043422029558 Long DBT CORP US N 2 2022-03-15 Fixed 3.40000000 N N N N N N SAN FRANCISCO CITY & CNTY CA R 5493001TPOZL3UK8DX25 San Francisco City & County Redevelopment Agency 79770GGA8 4500000.00000000 PA USD 4501800.00000000 0.063223151547 Long DBT MUN US N 2 2020-08-01 Fixed 2.52600000 N N N N N N Natixis Commercial Mortgage Se N/A Natixis Commercial Mortgage Securities Trust 63875FAE6 2500000.00000000 PA USD 2403061.25000000 0.033748524053 Long ABS-MBS USGSE US Y 2 2036-07-15 Variable 1.98475000 N N N N N N CEMEX SAB DE CV 549300RIG2CXWN6IV731 Cemex SAB de C.V. 151290BW2 1375000.00000000 PA USD 1397000.00000000 0.019619428386 Long DBT CORP MX Y 2 2027-06-05 Fixed 7.37500000 N N N N N N MOSAIC CO 2YD5STGSJNMUB7H76907 Mosaic Co 61945CAB9 1600000.00000000 PA USD 1572423.95000000 0.022083077366 Long DBT CORP US N 2 2041-11-15 Fixed 4.87500000 N N N N N N CANADIAN IMPERIAL BANK 2IGI19DL77OX0HC3ZE78 Canadian Imperial Bank of Commerce 136069K34 8670000.00000000 PA USD 8908447.20000000 0.125109979869 Long DBT CORP CA Y 2 2021-06-27 Fixed 3.15000000 N N N N N N 2020-06-30 TIAA-CREF Funds E. Scott Wickerham E. Scott Wickerham Funds Treasurer XXXX NPORT-EX 2 100089_TCF_FI_RES_SOI.htm

TIAA-CREF FUNDS – Real Estate Securities Fund

 

TIAA-CREF FUNDS

REAL ESTATE SECURITIES FUND

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2020

 

SHARES   COMPANY              VALUE  
COMMON STOCKS - 97.9%                  
                      
ASSET MANAGEMENT & CUSTODY BANKS - 1.7%                  
 325,000   Blackstone Group, Inc               $18,414,500 
 300,000   iShares Dow Jones US Real Estate Index Fund                23,643,000 
     TOTAL ASSET MANAGEMENT & CUSTODY BANKS                42,057,500 
                        
CASINOS & GAMING - 0.9%                  
 170,000   Las Vegas Sands Corp                7,741,800 
 500,000   MGM Resorts International                8,400,000 
 85,000   Wynn Resorts Ltd                6,331,650 
     TOTAL CASINOS & GAMING                22,473,450 
                        
DIVERSIFIED REITS - 0.7%                  
 110,000   Essential Properties Realty Trust, Inc                1,632,400 
 500,000   STORE Capital Corp                11,905,000 
 41,550   WP Carey, Inc                2,810,858 
     TOTAL DIVERSIFIED REITS                16,348,258 
                        
HEALTH CARE REITS - 7.7%                  
 325,000   Healthcare Trust of America, Inc                8,619,000 
 1,800,000   Healthpeak Properties Inc                49,608,000 
 400,000   Medical Properties Trust, Inc                7,520,000 
 500,000   Omega Healthcare Investors, Inc                14,865,000 
 850,000   Sabra Healthcare REIT, Inc                12,265,500 
 1,100,000   Ventas, Inc                40,282,000 
 1,150,000   Welltower, Inc                59,512,500 
     TOTAL HEALTH CARE REITS                192,672,000 
                        
HOTEL & RESORT REITS - 1.6%                  
 900,000   Host Hotels and Resorts, Inc                9,711,000 
 575,000   MGM Growth Properties LLC                15,645,750 
 1,300,000   Park Hotels & Resorts, Inc                12,857,000 
 200,000   Pebblebrook Hotel Trust                2,732,000 
     TOTAL HOTEL & RESORT REITS                40,945,750 
                        
HOTELS, RESORTS & CRUISE LINES - 0.5%                  
 100,000   Hilton Worldwide Holdings, Inc                7,345,000 
 70,000   Marriott International, Inc (Class A)                6,001,100 
     TOTAL HOTELS, RESORTS & CRUISE LINES                13,346,100 
                        
INDUSTRIAL REITS - 15.0%                  
 820,000   Americold Realty Trust                29,766,000 
 800,000   Duke Realty Corp                28,312,000 
 175,000   EastGroup Properties, Inc                20,756,750 
 1,950,000   Prologis, Inc                181,993,500 
 1,950,000   Rexford Industrial Realty, Inc               80,788,500 
1

TIAA-CREF FUNDS – Real Estate Securities Fund

 

SHARES     COMPANY            VALUE  
 700,000     Terreno Realty Corp             $36,848,000 
       TOTAL INDUSTRIAL REITS              378,464,750 
                        
INTERNET SERVICES & INFRASTRUCTURE - 2.4%                
 425,000 *   GDS Holdings Ltd (ADR)              33,855,500 
 1,900,000 *   Megaport Ltd              15,980,226 
 1,600,000 *   NEXTDC Ltd              11,005,169 
       TOTAL INTERNET SERVICES & INFRASTRUCTURE              60,840,895 
                        
OFFICE REITS - 5.9%                
 415,000     Alexandria Real Estate Equities, Inc              67,333,750 
 355,000     Boston Properties, Inc              32,084,900 
 200,000     Highwoods Properties, Inc              7,466,000 
 240,000     Kilroy Realty Corp              14,088,000 
 300,000     SL Green Realty Corp              14,787,000 
 325,000     Vornado Realty Trust              12,418,250 
       TOTAL OFFICE REITS              148,177,900 
                        
OTHER DIVERSIFIED FINANCIAL SERVICES - 0.6%                
 200,000     Vanguard REIT ETF              15,706,000 
       TOTAL OTHER DIVERSIFIED FINANCIAL SERVICES              15,706,000 
                        
RESIDENTIAL REITS - 18.8%                
 1,550,000     American Homes 4 Rent              41,695,000 
 265,000     AvalonBay Communities, Inc              40,979,600 
 165,000     Camden Property Trust              15,051,300 
 1,450,000     Equity Lifestyle Properties, Inc              90,596,000 
 725,000     Equity Residential              42,644,500 
 85,000     Essex Property Trust, Inc              19,479,450 
 2,825,000     Invitation Homes, Inc              77,772,250 
 430,000     Mid-America Apartment Communities, Inc              49,308,100 
 715,000     Sun Communities, Inc              97,011,200 
       TOTAL RESIDENTIAL REITS              474,537,400 
                        
RETAIL REITS - 6.7%                
 425,000     Agree Realty Corp              27,926,750 
 200,000     Brixmor Property Group, Inc              2,564,000 
 300,000     Macerich Co              2,691,000 
 675,000     Realty Income Corp              40,162,500 
 825,000     Regency Centers Corp              37,859,250 
 630,000     Simon Property Group, Inc              43,079,400 
 800,000     SITE Centers Corp              6,480,000 
 150,000     Spirit Realty Capital, Inc              5,229,000 
 100,000     Taubman Centers, Inc              3,776,000 
       TOTAL RETAIL REITS              169,767,900 
                        
SPECIALIZED REITS - 35.4%                
 1,000,000     American Tower Corp              258,540,000 
 730,000     Crown Castle International Corp              122,165,500 
 250,000     CyrusOne, Inc              18,187,500 
 460,000     Digital Realty Trust, Inc              65,370,600 
 228,000     Equinix, Inc              160,124,400 
 260,000     Extra Space Storage, Inc          24,016,200 
 1,012,254     Gaming and Leisure Properties, Inc           35,023,988 
2

TIAA-CREF FUNDS – Real Estate Securities Fund

 

SHARES     COMPANY          VALUE  
 130,000     Lamar Advertising Co          $8,678,800 
 280,000     Outfront Media, Inc           3,967,600 
 230,000     Public Storage, Inc           44,134,700 
 135,000     QTS Realty Trust, Inc           8,652,150 
 265,000     SBA Communications Corp           78,948,800 
 425,000     Uniti Group, Inc           3,973,750 
 1,775,000     VICI Properties, Inc           35,837,250 
 1,100,000     Weyerhaeuser Co           24,706,000 
       TOTAL SPECIALIZED REITS           892,327,238 
                     
       TOTAL COMMON STOCKS           2,467,665,141 
       (Cost $1,797,284,751)             
                     
PRINCIPAL     ISSUER  RATE  MATURITY
DATE
     
SHORT-TERM INVESTMENTS - 1.8%             
                     
GOVERNMENT AGENCY DEBT - 0.8%             
$8,400,000     Federal Home Loan Bank (FHLB)   0.110-0.120%  07/15/20   8,399,608 
 3,210,000     FHLB   0.120-0.135   07/16/20   3,209,839 
 4,994,000     FHLB   0.140-0.150   07/29/20   4,993,534 
 4,200,000     FHLB   0.150   07/31/20   4,199,580 
       TOTAL GOVERNMENT AGENCY DEBT           20,802,561 
                     
REPURCHASE AGREEMENT - 1.0%             
 24,180,000 r   Fixed Income Clearing Corp   0.070   07/01/20   24,180,000 
       TOTAL REPURCHASE AGREEMENT           24,180,000 
                     
       TOTAL SHORT-TERM INVESTMENTS           44,982,561 
       (Cost $44,982,362)             
                     
       TOTAL INVESTMENTS - 99.7%           2,512,647,702 
       (Cost $1,842,267,113)             
       OTHER ASSETS & LIABILITIES, NET - 0.3%           7,366,579 
       NET ASSETS - 100.0%          $2,520,014,281 
                       
                                 
        Abbreviation(s):
  ADR       American Repository Receipts
  ETF       Exchange Traded Fund
  REIT       Real Estate Investment Trust
           
  *     Non-income producing
  r       Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $24,180,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $24,663,702.
3

TIAA-CREF FUNDS – Bond Index Fund

 

TIAA-CREF FUNDS
BOND INDEX FUND
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2020

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
BONDS - 99.6%              
                      
CORPORATE BONDS - 27.7%              
                      
AUTOMOBILES & COMPONENTS - 0.1%              
$250,000     Aptiv plc   4.250%  01/15/26  $276,085 
 100,000     Aptiv plc   4.350   03/15/29   107,101 
 100,000     Aptiv plc   4.400   10/01/46   96,543 
 575,000     Aptiv plc   5.400   03/15/49   600,803 
 200,000     BorgWarner, Inc   3.375   03/15/25   211,291 
 150,000     BorgWarner, Inc   2.650   07/01/27   153,588 
 200,000     BorgWarner, Inc   4.375   03/15/45   204,895 
 600,000     Delphi Corp   4.150   03/15/24   640,077 
 125,000     General Motors Co   4.875   10/02/23   133,469 
 500,000     General Motors Co   5.400   10/02/23   541,638 
 500,000     General Motors Co   6.125   10/01/25   561,903 
 500,000     General Motors Co   4.200   10/01/27   509,388 
 500,000     General Motors Co   6.800   10/01/27   582,559 
 700,000     General Motors Co   5.000   10/01/28   743,376 
 900,000     General Motors Co   6.600   04/01/36   978,556 
 700,000     General Motors Co   5.150   04/01/38   670,750 
 150,000     General Motors Co   6.250   10/02/43   159,353 
 175,000     General Motors Co   5.200   04/01/45   169,238 
 350,000     General Motors Co   6.750   04/01/46   381,470 
 500,000     General Motors Co   5.400   04/01/48   494,170 
 900,000     General Motors Co   5.950   04/01/49   943,855 
 175,000     Harley-Davidson, Inc   3.500   07/28/25   185,036 
 200,000     Harley-Davidson, Inc   4.625   07/28/45   213,378 
 800,000     Lear Corp   3.800   09/15/27   811,880 
 400,000     Lear Corp   4.250   05/15/29   410,475 
 500,000     Lear Corp   3.500   05/30/30   499,614 
 550,000     Lear Corp   5.250   05/15/49   568,277 
 300,000     Magna International, Inc   3.625   06/15/24   326,503 
 600,000     Magna International, Inc   4.150   10/01/25   673,537 
 175,000     Magna International, Inc   2.450   06/15/30   179,104 
 300,000     Toyota Motor Corp   3.183   07/20/21   308,214 
 500,000     Toyota Motor Corp   2.157   07/02/22   515,088 
 300,000     Toyota Motor Corp   3.419   07/20/23   323,964 
 750,000     Toyota Motor Corp   2.358   07/02/24   792,173 
 300,000     Toyota Motor Corp   3.669   07/20/28   349,201 
 750,000     Toyota Motor Corp   2.760   07/02/29   823,901 
       TOTAL AUTOMOBILES & COMPONENTS           16,140,453 
                     
BANKS - 4.2%              
 350,000     Banco Bilbao Vizcaya Argentaria S.A.   3.000   10/20/20   352,572 
 600,000     Banco Santander S.A.   3.500   04/11/22   624,040 
 800,000     Banco Santander S.A.   3.125   02/23/23   834,304 
 1,200,000     Banco Santander S.A.   3.848   04/12/23   1,276,489 
4

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$800,000     Banco Santander S.A.   2.706%  06/27/24  $840,853 
 600,000     Banco Santander S.A.   2.746   05/28/25   621,492 
 400,000     Banco Santander S.A.   5.179   11/19/25   449,806 
 600,000     Banco Santander S.A.   4.250   04/11/27   665,219 
 675,000     Banco Santander S.A.   3.800   02/23/28   732,487 
 1,800,000     Banco Santander S.A.   4.379   04/12/28   2,010,728 
 600,000     Banco Santander S.A.   3.306   06/27/29   647,465 
 400,000     Banco Santander S.A.   3.490   05/28/30   428,137 
 850,000     Bancolombia S.A.   3.000   01/29/25   833,085 
 3,000,000     Bank of America Corp   2.738   01/23/22   3,033,314 
 1,200,000     Bank of America Corp   2.816   07/21/23   1,246,475 
 3,500,000     Bank of America Corp   4.125   01/22/24   3,877,331 
 1,475,000     Bank of America Corp   4.200   08/26/24   1,636,729 
 10,300,000     Bank of America Corp   3.458   03/15/25   11,171,812 
 3,550,000     Bank of America Corp   3.950   04/21/25   3,928,105 
 3,000,000     Bank of America Corp   3.093   10/01/25   3,238,638 
 725,000     Bank of America Corp   2.456   10/22/25   762,720 
 4,000,000     Bank of America Corp   3.366   01/23/26   4,368,773 
 3,000,000     Bank of America Corp   2.015   02/13/26   3,102,290 
 5,000,000     Bank of America Corp   1.319   06/19/26   5,011,821 
 7,800,000     Bank of America Corp   3.559   04/23/27   8,705,432 
 2,000,000     Bank of America Corp   3.593   07/21/28   2,246,732 
 5,690,000     Bank of America Corp   3.419   12/20/28   6,336,610 
 1,250,000     Bank of America Corp   3.970   03/05/29   1,431,818 
 1,400,000     Bank of America Corp   4.271   07/23/29   1,647,786 
 3,075,000     Bank of America Corp   3.974   02/07/30   3,577,787 
 1,675,000     Bank of America Corp   3.194   07/23/30   1,848,624 
 1,050,000     Bank of America Corp   2.884   10/22/30   1,135,913 
 4,000,000     Bank of America Corp   2.496   02/13/31   4,192,754 
 1,750,000     Bank of America Corp   2.592   04/29/31   1,851,065 
 1,500,000     Bank of America Corp   6.110   01/29/37   2,130,003 
 4,500,000     Bank of America Corp   4.078   04/23/40   5,491,102 
 3,000,000     Bank of America Corp   2.676   06/19/41   3,080,663 
 1,500,000     Bank of America Corp   5.000   01/21/44   2,067,286 
 2,800,000     Bank of America Corp   4.443   01/20/48   3,626,101 
 3,000,000     Bank of America Corp   3.946   01/23/49   3,627,967 
 1,250,000     Bank of America Corp   4.330   03/15/50   1,609,752 
 1,500,000     Bank of America Corp   4.083   03/20/51   1,871,707 
 550,000     Bank of America NA   3.335   01/25/23   574,003 
 750,000     Bank of New York Mellon Corp   1.850   01/27/23   775,540 
 725,000     Bank of New York Mellon Corp   1.600   04/24/25   750,877 
 200,000     Bank of Nova Scotia   4.375   01/13/21   204,243 
 1,000,000     Bank of Nova Scotia   1.875   04/26/21   1,012,674 
 250,000     Bank of Nova Scotia   2.800   07/21/21   256,428 
 1,000,000     Bank of Nova Scotia   2.000   11/15/22   1,031,797 
 375,000     Bank of Nova Scotia   2.375   01/18/23   390,284 
 750,000     Bank of Nova Scotia   1.950   02/01/23   772,550 
 750,000     Bank of Nova Scotia   1.625   05/01/23   767,707 
 750,000     Bank of Nova Scotia   2.200   02/03/25   787,097 
 2,000,000     Bank of Nova Scotia   1.300   06/11/25   2,015,809 
 1,550,000     Bank of Nova Scotia   4.500   12/16/25   1,761,118 
 1,000,000     Bank of Nova Scotia   2.700   08/03/26   1,093,691 
 1,500,000     Barclays Bank plc   2.650   01/11/21   1,514,845 
 2,000,000     Barclays Bank plc   1.700   05/12/22   2,035,220 
5

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,000,000     Barclays plc    3.200%  08/10/21  $2,044,371 
 1,500,000     Barclays plc    3.684   01/10/23   1,556,744 
 1,500,000     Barclays plc    4.610   02/15/23   1,579,414 
 525,000     Barclays plc    4.338   05/16/24   565,415 
 200,000     Barclays plc    4.375   09/11/24   213,553 
 1,425,000     Barclays plc    3.650   03/16/25   1,543,951 
 2,750,000     Barclays plc    3.932   05/07/25   2,971,013 
 975,000     Barclays plc    4.375   01/12/26   1,097,081 
 2,000,000     Barclays plc    2.852   05/07/26   2,082,058 
 800,000     Barclays plc    5.200   05/12/26   889,245 
 700,000     Barclays plc    4.337   01/10/28   776,992 
 1,975,000     Barclays plc    4.836   05/09/28   2,167,520 
 1,500,000     Barclays plc    4.972   05/16/29   1,757,127 
 1,000,000     Barclays plc    5.088   06/20/30   1,139,905 
 2,000,000     Barclays plc    2.645   06/24/31   1,986,118 
 775,000     Barclays plc    5.250   08/17/45   1,035,299 
 575,000     Barclays plc    4.950   01/10/47   755,568 
 500,000     BBVA USA    3.500   06/11/21   510,867 
 500,000     BBVA USA    2.875   06/29/22   511,526 
 1,000,000     BBVA USA    2.500   08/27/24   1,015,203 
 500,000     BBVA USA    3.875   04/10/25   528,203 
 400,000     BPCE S.A.    2.750   12/02/21   411,819 
 1,025,000     BPCE S.A.    4.000   04/15/24   1,135,699 
 300,000     BPCE S.A.    3.375   12/02/26   333,626 
 500,000     Canadian Imperial Bank of Commerce    2.550   06/16/22   520,948 
 1,000,000     Canadian Imperial Bank of Commerce    2.606   07/22/23   1,033,633 
 500,000     Canadian Imperial Bank of Commerce    3.500   09/13/23   546,180 
 750,000     Canadian Imperial Bank of Commerce    3.100   04/02/24   804,474 
 1,000,000     Canadian Imperial Bank of Commerce    2.250   01/28/25   1,043,403 
 500,000     CitiBank NA    3.400   07/23/21   515,133 
 3,000,000     CitiBank NA    2.844   05/20/22   3,059,596 
 2,000,000     CitiBank NA    3.650   01/23/24   2,194,080 
 1,250,000     Citigroup, Inc    2.350   08/02/21   1,274,073 
 100,000     Citigroup, Inc    2.900   12/08/21   103,056 
 3,000,000     Citigroup, Inc    4.500   01/14/22   3,179,506 
 425,000     Citigroup, Inc    2.312   11/04/22   434,055 
 800,000     Citigroup, Inc    3.142   01/24/23   827,377 
 4,600,000     Citigroup, Inc    3.500   05/15/23   4,911,191 
 1,400,000     Citigroup, Inc    2.876   07/24/23   1,457,028 
 1,500,000     Citigroup, Inc    4.044   06/01/24   1,628,641 
 500,000     Citigroup, Inc    4.000   08/05/24   544,913 
 7,500,000     Citigroup, Inc    3.352   04/24/25   8,103,440 
 1,000,000     Citigroup, Inc    3.700   01/12/26   1,116,813 
 750,000     Citigroup, Inc    4.600   03/09/26   856,317 
 1,100,000     Citigroup, Inc    4.300   11/20/26   1,248,520 
 1,500,000     Citigroup, Inc    4.450   09/29/27   1,709,394 
 1,000,000     Citigroup, Inc    3.668   07/24/28   1,114,734 
 2,025,000     Citigroup, Inc    4.125   07/25/28   2,288,648 
 4,000,000     Citigroup, Inc    4.075   04/23/29   4,562,608 
 1,750,000     Citigroup, Inc    3.980   03/20/30   2,005,979 
 1,500,000     Citigroup, Inc    2.976   11/05/30   1,595,940 
 5,000,000     Citigroup, Inc    2.666   01/29/31   5,188,793 
 6,000,000     Citigroup, Inc    2.572   06/03/31   6,200,866 
 175,000     Citigroup, Inc    6.625   06/15/32   240,116 
6

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$750,000     Citigroup, Inc    3.878%  01/24/39  $872,318 
 325,000     Citigroup, Inc    8.125   07/15/39   562,680 
 350,000     Citigroup, Inc    5.875   01/30/42   508,864 
 400,000     Citigroup, Inc    6.675   09/13/43   618,038 
 125,000     Citigroup, Inc    5.300   05/06/44   165,996 
 675,000     Citigroup, Inc    4.650   07/30/45   868,538 
 3,075,000     Citigroup, Inc    4.750   05/18/46   3,930,068 
 5,075,000     Citigroup, Inc    4.650   07/23/48   6,670,537 
 150,000     Citizens Bank NA    2.550   05/13/21   152,454 
 925,000     Citizens Bank NA    3.250   02/14/22   957,963 
 350,000     Citizens Bank NA    2.650   05/26/22   361,707 
 500,000     Citizens Bank NA    3.700   03/29/23   535,846 
 350,000     Citizens Bank NA    2.250   04/28/25   371,418 
 250,000     Citizens Bank NA    3.750   02/18/26   280,617 
 100,000     Citizens Financial Group, Inc    2.375   07/28/21   101,268 
 850,000     Citizens Financial Group, Inc    4.300   12/03/25   951,079 
 500,000     Citizens Financial Group, Inc    2.850   07/27/26   541,107 
 200,000     Citizens Financial Group, Inc    2.500   02/06/30   202,725 
 450,000     Citizens Financial Group, Inc    3.250   04/30/30   486,221 
 500,000     Comerica Bank    2.500   07/23/24   526,189 
 200,000     Comerica Bank    4.000   07/27/25   216,776 
 625,000     Comerica, Inc    3.700   07/31/23   673,369 
 550,000     Comerica, Inc    4.000   02/01/29   617,860 
 500,000     Cooperatieve Rabobank UA    4.500   01/11/21   511,147 
 925,000     Cooperatieve Rabobank UA    2.750   01/10/22   957,838 
 1,500,000     Cooperatieve Rabobank UA    3.875   02/08/22   1,583,571 
 575,000     Cooperatieve Rabobank UA    3.950   11/09/22   608,389 
 425,000     Cooperatieve Rabobank UA    4.625   12/01/23   468,664 
 2,050,000     Cooperatieve Rabobank UA    3.375   05/21/25   2,286,652 
 600,000     Cooperatieve Rabobank UA    4.375   08/04/25   676,961 
 2,700,000     Cooperatieve Rabobank UA    3.750   07/21/26   2,967,948 
 550,000     Cooperatieve Rabobank UA    5.250   05/24/41   779,547 
 400,000     Cooperatieve Rabobank UA    5.750   12/01/43   575,120 
 1,600,000     Cooperatieve Rabobank UA    5.250   08/04/45   2,189,607 
 300,000     Discover Bank    3.200   08/09/21   306,669 
 1,300,000     Discover Bank    3.350   02/06/23   1,371,339 
 1,350,000     Discover Bank    4.200   08/08/23   1,474,383 
 1,000,000     Discover Bank    2.450   09/12/24   1,048,760 
 200,000     Discover Bank    4.250   03/13/26   224,807 
 1,125,000     Discover Bank    3.450   07/27/26   1,216,258 
 300,000     Discover Bank    4.682   08/09/28   302,850 
 350,000     Discover Bank    4.650   09/13/28   401,894 
 325,000     Discover Bank    2.700   02/06/30   327,359 
 200,000     Fifth Third Bancorp    3.500   03/15/22   209,402 
 750,000     Fifth Third Bancorp    2.600   06/15/22   777,602 
 450,000     Fifth Third Bancorp    4.300   01/16/24   495,899 
 675,000     Fifth Third Bancorp    3.650   01/25/24   736,284 
 1,000,000     Fifth Third Bancorp    2.375   01/28/25   1,054,074 
 300,000     Fifth Third Bancorp    2.550   05/05/27   320,717 
 500,000     Fifth Third Bancorp    3.950   03/14/28   585,153 
 140,000     Fifth Third Bancorp    8.250   03/01/38   227,035 
 300,000     Fifth Third Bank    2.250   06/14/21   304,810 
 650,000     Fifth Third Bank    3.350   07/26/21   667,927 
7

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$200,000     Fifth Third Bank    2.875%  10/01/21  $205,441 
 500,000     Fifth Third Bank    1.800   01/30/23   513,384 
 300,000     Fifth Third Bank    3.950   07/28/25   342,959 
 2,400,000     Fifth Third Bank    3.850   03/15/26   2,689,804 
 1,000,000     Fifth Third Bank    2.250   02/01/27   1,058,214 
 500,000     First Citizens BancShares, Inc    3.375   03/15/30   493,430 
 500,000     First Horizon Bank    5.750   05/01/30   526,488 
 200,000     First Horizon National Corp    3.500   12/15/20   201,560 
 500,000     First Horizon National Corp    3.550   05/26/23   515,939 
 500,000     First Horizon National Corp    4.000   05/26/25   522,914 
 2,200,000     First Republic Bank    2.500   06/06/22   2,264,496 
 500,000     First Republic Bank    1.912   02/12/24   511,629 
 175,000     First Republic Bank    4.375   08/01/46   203,166 
 550,000     FNB Corp    2.200   02/24/23   546,793 
 750,000     HSBC Bank USA NA    4.875   08/24/20   754,755 
 33,000     HSBC Bank USA NA    7.000   01/15/39   48,944 
 725,000     HSBC Holdings plc    2.950   05/25/21   740,311 
 1,375,000     HSBC Holdings plc    2.650   01/05/22   1,417,515 
 450,000     HSBC Holdings plc    4.875   01/14/22   478,730 
 650,000     HSBC Holdings plc    4.000   03/30/22   687,073 
 600,000     HSBC Holdings plc    3.033   11/22/23   626,871 
 2,625,000     HSBC Holdings plc    4.250   03/14/24   2,825,223 
 2,325,000     HSBC Holdings plc    3.950   05/18/24   2,498,690 
 450,000     HSBC Holdings plc    4.250   08/18/25   490,933 
 2,000,000     HSBC Holdings plc    2.633   11/07/25   2,073,924 
 1,875,000     HSBC Holdings plc    4.300   03/08/26   2,116,505 
 2,475,000     HSBC Holdings plc    3.900   05/25/26   2,747,783 
 1,500,000     HSBC Holdings plc    2.099   06/04/26   1,514,890 
 1,100,000     HSBC Holdings plc    4.292   09/12/26   1,223,616 
 450,000     HSBC Holdings plc    4.375   11/23/26   498,366 
 3,925,000     HSBC Holdings plc    4.041   03/13/28   4,337,329 
 2,775,000     HSBC Holdings plc    4.583   06/19/29   3,205,392 
 4,000,000     HSBC Holdings plc    3.973   05/22/30   4,439,413 
 3,000,000     HSBC Holdings plc    2.848   06/04/31   3,067,807 
 300,000     HSBC Holdings plc    6.500   05/02/36   404,931 
 2,700,000     HSBC Holdings plc    6.500   09/15/37   3,660,174 
 200,000     HSBC Holdings plc    6.800   06/01/38   281,890 
 550,000     HSBC Holdings plc    6.100   01/14/42   782,330 
 1,175,000     HSBC Holdings plc    5.250   03/14/44   1,482,815 
 1,250,000     HSBC USA, Inc    3.500   06/23/24   1,362,077 
 400,000     Huntington Bancshares, Inc    2.300   01/14/22   410,314 
 1,000,000     Huntington Bancshares, Inc    2.625   08/06/24   1,059,941 
 500,000     Huntington Bancshares, Inc    4.000   05/15/25   566,384 
 1,000,000     Huntington Bancshares, Inc    2.550   02/04/30   1,033,486 
 300,000     Huntington National Bank    3.125   04/01/22   312,815 
 375,000     Huntington National Bank    1.800   02/03/23   386,094 
 1,300,000     Industrial & Commercial Bank of China Ltd    2.905   11/13/20   1,307,740 
 300,000     Industrial & Commercial Bank of China Ltd    2.635   05/26/21   303,659 
 250,000     Industrial & Commercial Bank of China Ltd    2.452   10/20/21   253,802 
 4,750,000     Industrial & Commercial Bank of China Ltd    3.538   11/08/27   5,194,419 
 750,000     ING Groep NV    3.150   03/29/22   779,733 
 1,200,000     ING Groep NV    4.100   10/02/23   1,316,103 
 575,000     ING Groep NV    3.550   04/09/24   625,824 
 1,250,000     ING Groep NV    3.950   03/29/27   1,438,372 
8

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000     ING Groep NV    4.550%  10/02/28  $602,988 
 825,000     ING Groep NV    4.050   04/09/29   968,097 
 10,000,000     Inter-American Development Bank    0.625   07/15/25   10,055,661 
 2,000,000     JPMorgan Chase & Co    2.550   03/01/21   2,024,973 
 1,000,000     JPMorgan Chase & Co    2.400   06/07/21   1,017,051 
 325,000     JPMorgan Chase & Co    2.295   08/15/21   325,686 
 500,000     JPMorgan Chase & Co    4.500   01/24/22   531,265 
 800,000     JPMorgan Chase & Co    3.250   09/23/22   846,636 
 3,150,000     JPMorgan Chase & Co    2.972   01/15/23   3,260,763 
 3,075,000     JPMorgan Chase & Co    3.200   01/25/23   3,269,431 
 2,100,000     JPMorgan Chase & Co    3.207   04/01/23   2,186,502 
 500,000     JPMorgan Chase & Co    3.375   05/01/23   534,921 
 625,000     JPMorgan Chase & Co    2.700   05/18/23   658,760 
 475,000     JPMorgan Chase & Co    3.875   02/01/24   526,641 
 4,400,000     JPMorgan Chase & Co    3.559   04/23/24   4,717,681 
 1,525,000     JPMorgan Chase & Co    3.625   05/13/24   1,684,111 
 2,000,000     JPMorgan Chase & Co    1.514   06/01/24   2,032,342 
 1,575,000     JPMorgan Chase & Co    3.797   07/23/24   1,707,738 
 2,675,000     JPMorgan Chase & Co    3.875   09/10/24   2,965,832 
 975,000     JPMorgan Chase & Co    4.023   12/05/24   1,074,346 
 625,000     JPMorgan Chase & Co    3.125   01/23/25   681,180 
 1,200,000     JPMorgan Chase & Co    3.220   03/01/25   1,291,452 
 2,125,000     JPMorgan Chase & Co    3.900   07/15/25   2,409,943 
 2,000,000     JPMorgan Chase & Co    2.301   10/15/25   2,095,049 
 2,000,000     JPMorgan Chase & Co    2.005   03/13/26   2,069,892 
 3,125,000     JPMorgan Chase & Co    3.300   04/01/26   3,492,916 
 2,000,000     JPMorgan Chase & Co    2.083   04/22/26   2,075,063 
 1,450,000     JPMorgan Chase & Co    3.200   06/15/26   1,609,434 
 1,000,000     JPMorgan Chase & Co    2.950   10/01/26   1,098,305 
 1,350,000     JPMorgan Chase & Co    4.125   12/15/26   1,570,874 
 2,450,000     JPMorgan Chase & Co    3.960   01/29/27   2,790,666 
 250,000     JPMorgan Chase & Co    4.250   10/01/27   290,468 
 325,000     JPMorgan Chase & Co    3.625   12/01/27   359,165 
 1,375,000     JPMorgan Chase & Co    3.782   02/01/28   1,557,914 
 425,000     JPMorgan Chase & Co    3.540   05/01/28   474,255 
 6,000,000     JPMorgan Chase & Co    2.182   06/01/28   6,206,411 
 2,050,000     JPMorgan Chase & Co    4.203   07/23/29   2,403,073 
 1,750,000     JPMorgan Chase & Co    4.452   12/05/29   2,097,948 
 4,500,000     JPMorgan Chase & Co    3.702   05/06/30   5,168,186 
 2,000,000     JPMorgan Chase & Co    2.522   04/22/31   2,112,219 
 1,425,000     JPMorgan Chase & Co    2.956   05/13/31   1,515,315 
 1,000,000     JPMorgan Chase & Co    3.882   07/24/38   1,182,370 
 958,000     JPMorgan Chase & Co    5.500   10/15/40   1,374,500 
 2,000,000     JPMorgan Chase & Co    3.109   04/22/41   2,152,955 
 1,000,000     JPMorgan Chase & Co    5.625   08/16/43   1,455,920 
 1,800,000     JPMorgan Chase & Co    4.950   06/01/45   2,422,672 
 2,050,000     JPMorgan Chase & Co    4.260   02/22/48   2,581,755 
 1,000,000     JPMorgan Chase & Co    4.032   07/24/48   1,228,330 
 4,500,000     JPMorgan Chase & Co    3.964   11/15/48   5,497,605 
 1,750,000     JPMorgan Chase & Co    3.897   01/23/49   2,114,263 
 2,000,000     JPMorgan Chase & Co    3.109   04/22/51   2,152,453 
 750,000     JPMorgan Chase & Co    6.000   N/A‡   755,625 
 500,000     KeyBank NA    2.500   11/22/21   514,027 
 500,000     KeyBank NA    3.300   02/01/22   521,002 
9

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     KeyBank NA    3.180%  05/22/22  $311,033 
 300,000     KeyBank NA    2.400   06/09/22   310,413 
 625,000     KeyBank NA    2.300   09/14/22   648,794 
 425,000     KeyBank NA    1.250   03/10/23   431,423 
 750,000     KeyBank NA    3.300   06/01/25   837,742 
 300,000     KeyBank NA    3.400   05/20/26   330,984 
 250,000     KeyBank NA    3.900   04/13/29   278,562 
 1,200,000     KeyCorp    2.900   09/15/20   1,205,594 
 200,000     KeyCorp    4.150   10/29/25   229,309 
 850,000     KeyCorp    2.250   04/06/27   888,965 
 500,000     KeyCorp    4.100   04/30/28   580,144 
 1,000,000     KeyCorp    2.550   10/01/29   1,034,876 
 1,000,000     Lloyds Bank plc    2.250   08/14/22   1,028,223 
 575,000     Lloyds Banking Group plc    3.000   01/11/22   594,561 
 1,000,000     Lloyds Banking Group plc    2.858   03/17/23   1,030,007 
 1,175,000     Lloyds Banking Group plc    2.907   11/07/23   1,223,329 
 1,800,000     Lloyds Banking Group plc    3.900   03/12/24   1,970,138 
 2,750,000     Lloyds Banking Group plc    4.500   11/04/24   3,008,249 
 1,375,000     Lloyds Banking Group plc    4.450   05/08/25   1,559,289 
 325,000     Lloyds Banking Group plc    4.582   12/10/25   360,693 
 225,000     Lloyds Banking Group plc    4.650   03/24/26   250,329 
 500,000     Lloyds Banking Group plc    3.750   01/11/27   553,400 
 2,700,000     Lloyds Banking Group plc    4.375   03/22/28   3,132,811 
 700,000     Lloyds Banking Group plc    4.550   08/16/28   820,166 
 1,825,000     Lloyds Banking Group plc    3.574   11/07/28   1,982,999 
 1,150,000     Lloyds Banking Group plc    4.344   01/09/48   1,346,488 
 300,000     M&T Bank Corp    3.550   07/26/23   325,400 
 500,000     Manufacturers & Traders Trust Co    2.625   01/25/21   505,121 
 500,000     Manufacturers & Traders Trust Co    2.500   05/18/22   517,244 
 1,100,000     Manufacturers & Traders Trust Co    2.900   02/06/25   1,196,560 
 710,000     Mitsubishi UFJ Financial Group, Inc    2.950   03/01/21   721,408 
 1,300,000     Mitsubishi UFJ Financial Group, Inc    3.535   07/26/21   1,341,389 
 276,000     Mitsubishi UFJ Financial Group, Inc    2.190   09/13/21   280,877 
 400,000     Mitsubishi UFJ Financial Group, Inc    2.998   02/22/22   414,467 
 1,375,000     Mitsubishi UFJ Financial Group, Inc    3.218   03/07/22   1,433,192 
 1,000,000     Mitsubishi UFJ Financial Group, Inc    2.623   07/18/22   1,037,621 
 975,000     Mitsubishi UFJ Financial Group, Inc    2.665   07/25/22   1,012,591 
 1,925,000     Mitsubishi UFJ Financial Group, Inc    3.455   03/02/23   2,054,758 
 1,175,000     Mitsubishi UFJ Financial Group, Inc    3.761   07/26/23   1,275,969 
 1,000,000     Mitsubishi UFJ Financial Group, Inc    2.801   07/18/24   1,070,782 
 2,000,000     Mitsubishi UFJ Financial Group, Inc    2.193   02/25/25   2,066,612 
 1,625,000     Mitsubishi UFJ Financial Group, Inc    3.777   03/02/25   1,800,674 
 207,000     Mitsubishi UFJ Financial Group, Inc    3.850   03/01/26   235,297 
 225,000     Mitsubishi UFJ Financial Group, Inc    2.757   09/13/26   240,795 
 650,000     Mitsubishi UFJ Financial Group, Inc    3.677   02/22/27   723,149 
 700,000     Mitsubishi UFJ Financial Group, Inc    3.287   07/25/27   767,361 
 1,000,000     Mitsubishi UFJ Financial Group, Inc    3.961   03/02/28   1,150,032 
 300,000     Mitsubishi UFJ Financial Group, Inc    4.050   09/11/28   347,562 
 1,250,000     Mitsubishi UFJ Financial Group, Inc    3.741   03/07/29   1,424,094 
 1,000,000     Mitsubishi UFJ Financial Group, Inc    3.195   07/18/29   1,093,293 
 1,500,000     Mitsubishi UFJ Financial Group, Inc    2.559   02/25/30   1,565,426 
 300,000     Mitsubishi UFJ Financial Group, Inc    4.286   07/26/38   362,111 
 500,000     Mitsubishi UFJ Financial Group, Inc    4.153   03/07/39   597,871 
 1,425,000     Mitsubishi UFJ Financial Group, Inc    3.751   07/18/39   1,616,860 
10

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,000,000     Mizuho Financial Group, Inc    2.601%  09/11/22  $2,079,401 
 700,000     Mizuho Financial Group, Inc    3.549   03/05/23   749,580 
 500,000     Mizuho Financial Group, Inc    2.555   09/13/25   520,932 
 500,000     Mizuho Financial Group, Inc    2.226   05/25/26   512,308 
 950,000     Mizuho Financial Group, Inc    2.839   09/13/26   1,020,081 
 200,000     Mizuho Financial Group, Inc    3.663   02/28/27   220,762 
 600,000     Mizuho Financial Group, Inc    3.170   09/11/27   647,771 
 725,000     Mizuho Financial Group, Inc    4.018   03/05/28   830,734 
 625,000     Mizuho Financial Group, Inc    4.254   09/11/29   722,569 
 1,000,000     Mizuho Financial Group, Inc    3.153   07/16/30   1,084,890 
 500,000     Mizuho Financial Group, Inc    2.869   09/13/30   527,837 
 500,000     Mizuho Financial Group, Inc    2.591   05/25/31   515,833 
 225,000     MUFG Americas Holdings Corp    3.500   06/18/22   236,220 
 160,000     MUFG Americas Holdings Corp    3.000   02/10/25   170,315 
 1,000,000     MUFG Union Bank NA    3.150   04/01/22   1,041,473 
 1,000,000     MUFG Union Bank NA    2.100   12/09/22   1,030,492 
 300,000     National Australia Bank Ltd    2.625   01/14/21   303,658 
 500,000     National Australia Bank Ltd    1.875   07/12/21   507,557 
 500,000     National Australia Bank Ltd    3.700   11/04/21   521,281 
 925,000     National Australia Bank Ltd    2.800   01/10/22   957,320 
 450,000     National Australia Bank Ltd    2.500   05/22/22   466,306 
 1,000,000     National Australia Bank Ltd    1.875   12/13/22   1,033,059 
 625,000     National Australia Bank Ltd    3.000   01/20/23   662,151 
 500,000     National Australia Bank Ltd    2.875   04/12/23   528,729 
 300,000     National Australia Bank Ltd    3.375   01/14/26   336,421 
 750,000     National Australia Bank Ltd    2.500   07/12/26   811,443 
 1,000,000     National Bank of Canada    2.100   02/01/23   1,028,230 
 350,000     Northern Trust Corp    2.375   08/02/22   364,093 
 625,000     Northern Trust Corp    3.950   10/30/25   721,145 
 500,000     Northern Trust Corp    3.650   08/03/28   582,571 
 500,000     Northern Trust Corp    3.150   05/03/29   569,103 
 700,000     Northern Trust Corp    1.950   05/01/30   719,554 
 100,000     Northern Trust Corp    3.375   05/08/32   107,135 
 300,000     People’s United Bank NA    4.000   07/15/24   318,280 
 100,000     People’s United Financial, Inc    3.650   12/06/22   103,899 
 850,000     PNC Bank NA    2.550   12/09/21   874,676 
 1,075,000     PNC Bank NA    2.625   02/17/22   1,113,697 
 1,750,000     PNC Bank NA    2.450   07/28/22   1,816,047 
 1,025,000     PNC Bank NA    2.700   11/01/22   1,072,339 
 1,000,000     PNC Bank NA    2.028   12/09/22   1,020,348 
 750,000     PNC Bank NA    2.950   01/30/23   789,122 
 250,000     PNC Bank NA    3.800   07/25/23   271,582 
 600,000     PNC Bank NA    2.950   02/23/25   652,895 
 550,000     PNC Bank NA    3.250   06/01/25   609,876 
 500,000     PNC Bank NA    3.100   10/25/27   560,732 
 500,000     PNC Bank NA    3.250   01/22/28   559,662 
 903,000     PNC Bank NA    4.050   07/26/28   1,058,380 
 475,000     PNC Bank NA    2.700   10/22/29   506,195 
 500,000     PNC Financial Services Group, Inc    3.500   01/23/24   546,359 
 300,000     PNC Financial Services Group, Inc    3.900   04/29/24   331,113 
 500,000     PNC Financial Services Group, Inc    2.200   11/01/24   530,347 
 1,500,000     PNC Financial Services Group, Inc    2.600   07/23/26   1,627,406 
 300,000     PNC Financial Services Group, Inc    3.150   05/19/27   335,559 
 1,575,000     PNC Financial Services Group, Inc    3.450   04/23/29   1,816,591 
11

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,000,000     PNC Financial Services Group, Inc    2.550%  01/22/30  $1,076,014 
 150,000     PNC Financial Services Group, Inc (Step Bond)    2.854   11/09/22   157,938 
 250,000     Regions Bank    3.374   08/13/21   250,522 
 300,000     Regions Bank    6.450   06/26/37   402,803 
 850,000     Regions Financial Corp    2.750   08/14/22   885,301 
 2,075,000     Regions Financial Corp    3.800   08/14/23   2,256,514 
 225,000     Regions Financial Corp    2.250   05/18/25   235,366 
 500,000     Royal Bank of Canada    2.100   10/14/20   502,471 
 750,000     Royal Bank of Canada    2.300   03/22/21   760,675 
 1,600,000     Royal Bank of Canada    2.750   02/01/22   1,659,934 
 1,000,000     Royal Bank of Canada    2.800   04/29/22   1,041,042 
 1,000,000     Royal Bank of Canada    1.950   01/17/23   1,031,240 
 500,000     Royal Bank of Canada    1.600   04/17/23   512,922 
 850,000     Royal Bank of Canada    3.700   10/05/23   928,689 
 1,000,000     Royal Bank of Canada    2.550   07/16/24   1,061,947 
 750,000     Royal Bank of Canada    2.250   11/01/24   790,063 
 1,000,000     Royal Bank of Canada    4.650   01/27/26   1,164,378 
 550,000     Royal Bank of Scotland Group plc    6.125   12/15/22   600,392 
 4,000,000     Royal Bank of Scotland Group plc    3.498   05/15/23   4,152,964 
 275,000     Royal Bank of Scotland Group plc    6.100   06/10/23   304,488 
 1,275,000     Royal Bank of Scotland Group plc    3.875   09/12/23   1,374,634 
 175,000     Royal Bank of Scotland Group plc    6.000   12/19/23   196,043 
 1,100,000     Royal Bank of Scotland Group plc    2.359   05/22/24   1,129,308 
 175,000     Royal Bank of Scotland Group plc    5.125   05/28/24   191,429 
 700,000     Royal Bank of Scotland Group plc    4.519   06/25/24   760,480 
 750,000     Royal Bank of Scotland Group plc    4.269   03/22/25   815,464 
 750,000     Royal Bank of Scotland Group plc    4.800   04/05/26   867,762 
 300,000     Royal Bank of Scotland Group plc    3.073   05/22/28   314,906 
 1,000,000     Royal Bank of Scotland Group plc    4.892   05/18/29   1,178,627 
 750,000     Royal Bank of Scotland Group plc    3.754   11/01/29   777,325 
 3,000,000     Royal Bank of Scotland Group plc    5.076   01/27/30   3,603,991 
 1,500,000     Royal Bank of Scotland Group plc    4.445   05/08/30   1,741,119 
 1,200,000     Santander Holdings USA, Inc    3.400   01/18/23   1,249,108 
 375,000     Santander Holdings USA, Inc    3.500   06/07/24   394,448 
 1,000,000     Santander Holdings USA, Inc    3.450   06/02/25   1,042,284 
 775,000     Santander Holdings USA, Inc    4.500   07/17/25   838,066 
 1,850,000     Santander Holdings USA, Inc    3.244   10/05/26   1,922,004 
 650,000     Santander Holdings USA, Inc    4.400   07/13/27   704,308 
 600,000     Santander UK Group Holdings plc    2.875   10/16/20   604,154 
 200,000     Santander UK Group Holdings plc    3.125   01/08/21   202,464 
 1,775,000     Santander UK Group Holdings plc    3.571   01/10/23   1,842,233 
 775,000     Santander UK Group Holdings plc    3.373   01/05/24   812,247 
 725,000     Santander UK Group Holdings plc    4.796   11/15/24   802,009 
 500,000     Santander UK Group Holdings plc    3.823   11/03/28   550,941 
 750,000     Santander UK plc    3.400   06/01/21   769,967 
 400,000     Santander UK plc    3.750   11/15/21   416,755 
 775,000     Santander UK plc    4.000   03/13/24   853,815 
 1,000,000     Santander UK plc    2.875   06/18/24   1,066,287 
 350,000     Shinhan Bank Co Ltd    3.875   12/07/26   360,038 
 400,000     Skandinaviska Enskilda Banken AB    1.875   09/13/21   406,445 
 900,000     Skandinaviska Enskilda Banken AB    2.800   03/11/22   935,455 
 300,000     Sumitomo Mitsui Banking Corp    2.450   10/20/20   301,842 
 500,000     Sumitomo Mitsui Banking Corp    3.200   07/18/22   521,962 
 800,000     Sumitomo Mitsui Banking Corp    3.000   01/18/23   841,576 
12

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     Sumitomo Mitsui Banking Corp    3.950%  01/10/24  $329,080 
 500,000     Sumitomo Mitsui Banking Corp    3.400   07/11/24   543,859 
 250,000     Sumitomo Mitsui Banking Corp    3.650   07/23/25   278,592 
 1,250,000     Sumitomo Mitsui Financial Group, Inc    2.058   07/14/21   1,271,038 
 425,000     Sumitomo Mitsui Financial Group, Inc    2.442   10/19/21   435,275 
 425,000     Sumitomo Mitsui Financial Group, Inc    2.846   01/11/22   439,157 
 925,000     Sumitomo Mitsui Financial Group, Inc    2.784   07/12/22   963,585 
 1,650,000     Sumitomo Mitsui Financial Group, Inc    2.778   10/18/22   1,724,539 
 1,725,000     Sumitomo Mitsui Financial Group, Inc    3.102   01/17/23   1,824,309 
 900,000     Sumitomo Mitsui Financial Group, Inc    3.748   07/19/23   974,839 
 1,000,000     Sumitomo Mitsui Financial Group, Inc    2.448   09/27/24   1,049,372 
 725,000  h  Sumitomo Mitsui Financial Group, Inc    1.474   07/08/25   724,868 
 1,300,000     Sumitomo Mitsui Financial Group, Inc    3.784   03/09/26   1,470,139 
 700,000     Sumitomo Mitsui Financial Group, Inc    3.010   10/19/26   764,676 
 725,000     Sumitomo Mitsui Financial Group, Inc    3.446   01/11/27   804,758 
 775,000     Sumitomo Mitsui Financial Group, Inc    3.364   07/12/27   855,916 
 500,000     Sumitomo Mitsui Financial Group, Inc    3.352   10/18/27   546,324 
 675,000     Sumitomo Mitsui Financial Group, Inc    3.544   01/17/28   752,854 
 750,000     Sumitomo Mitsui Financial Group, Inc    3.944   07/19/28   859,307 
 500,000     Sumitomo Mitsui Financial Group, Inc    4.306   10/16/28   589,455 
 1,500,000     Sumitomo Mitsui Financial Group, Inc    3.040   07/16/29   1,616,358 
 500,000     Sumitomo Mitsui Financial Group, Inc    3.202   09/17/29   541,626 
 1,000,000     Sumitomo Mitsui Financial Group, Inc    2.724   09/27/29   1,052,873 
 1,500,000     Sumitomo Mitsui Financial Group, Inc    2.750   01/15/30   1,591,745 
 1,500,000  h  Sumitomo Mitsui Financial Group, Inc    2.130   07/08/30   1,503,176 
 300,000     SVB Financial Group    3.125   06/05/30   321,261 
 1,000,000     Svenska Handelsbanken AB    1.875   09/07/21   1,017,403 
 889,000     Svenska Handelsbanken AB    3.900   11/20/23   985,584 
 1,250,000     Synchrony Bank    3.650   05/24/21   1,270,277 
 475,000     Synchrony Bank    3.000   06/15/22   485,123 
 500,000     Synovus Bank    2.289   02/10/23   506,219 
 300,000     Synovus Financial Corp    3.125   11/01/22   303,714 
 2,000,000     Toronto-Dominion Bank    1.800   07/13/21   2,029,029 
 500,000     Toronto-Dominion Bank    3.500   07/19/23   546,691 
 1,525,000     Toronto-Dominion Bank    3.250   03/11/24   1,660,777 
 1,250,000     Toronto-Dominion Bank    2.650   06/12/24   1,337,701 
 1,000,000     Toronto-Dominion Bank    3.625   09/15/31   1,116,731 
 300,000     Truist Bank    3.525   10/26/21   302,856 
 1,100,000     Truist Bank    2.625   01/15/22   1,134,591 
 750,000     Truist Bank    2.800   05/17/22   780,870 
 1,450,000     Truist Bank    2.450   08/01/22   1,501,617 
 300,000     Truist Bank    3.502   08/02/22   309,458 
 500,000     Truist Bank    3.000   02/02/23   528,653 
 750,000     Truist Bank    1.250   03/09/23   761,469 
 1,000,000     Truist Bank    3.200   04/01/24   1,084,221 
 500,000     Truist Bank    3.689   08/02/24   541,760 
 750,000     Truist Bank    2.150   12/06/24   788,527 
 1,000,000     Truist Bank    1.500   03/10/25   1,026,376 
 500,000     Truist Bank    3.625   09/16/25   557,064 
 200,000     Truist Bank    4.050   11/03/25   230,340 
 375,000     Truist Bank    3.300   05/15/26   413,535 
 500,000     Truist Bank    3.800   10/30/26   565,911 
 750,000     Truist Bank    2.636   09/17/29   752,622 
13

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$475,000     Truist Bank    2.250%  03/11/30  $479,717 
 800,000     Truist Financial Corp    2.900   03/03/21   812,138 
 750,000     Truist Financial Corp    3.200   09/03/21   772,746 
 225,000     Truist Financial Corp    2.700   01/27/22   232,068 
 200,000     Truist Financial Corp    3.950   03/22/22   210,266 
 1,150,000     Truist Financial Corp    2.750   04/01/22   1,192,255 
 500,000     Truist Financial Corp    3.050   06/20/22   523,205 
 750,000     Truist Financial Corp    2.200   03/16/23   778,625 
 775,000     Truist Financial Corp    3.750   12/06/23   848,983 
 1,000,000     Truist Financial Corp    2.500   08/01/24   1,064,009 
 825,000     Truist Financial Corp    2.850   10/26/24   890,520 
 900,000     Truist Financial Corp    4.000   05/01/25   1,024,637 
 975,000     Truist Financial Corp    3.700   06/05/25   1,102,793 
 750,000     Truist Financial Corp    1.200   08/05/25   758,690 
 500,000     Truist Financial Corp    3.875   03/19/29   567,070 
 750,000     Truist Financial Corp    1.950   06/05/30   761,187 
 4,075,000     US Bancorp    2.625   01/24/22   4,209,124 
 250,000     US Bancorp    3.000   03/15/22   260,858 
 450,000     US Bancorp    2.950   07/15/22   471,661 
 125,000     US Bancorp    3.700   01/30/24   137,975 
 1,225,000     US Bancorp    3.375   02/05/24   1,338,922 
 2,225,000     US Bancorp    3.600   09/11/24   2,481,734 
 125,000     US Bancorp    3.950   11/17/25   144,271 
 750,000     US Bancorp    3.100   04/27/26   832,082 
 700,000     US Bancorp    2.375   07/22/26   759,460 
 1,175,000     US Bancorp    3.150   04/27/27   1,312,054 
 750,000     US Bancorp    3.900   04/26/28   892,732 
 600,000     US Bancorp    3.000   07/30/29   651,476 
 250,000     US Bank NA    2.050   10/23/20   250,989 
 325,000     US Bank NA    3.450   11/16/21   337,794 
 1,400,000     US Bank NA    2.850   01/23/23   1,478,588 
 1,250,000     US Bank NA    3.400   07/24/23   1,351,065 
 750,000     US Bank NA    2.800   01/27/25   814,327 
 125,000     Wachovia Corp    5.500   08/01/35   163,230 
 200,000     Webster Financial Corp    4.100   03/25/29   212,326 
 825,000     Wells Fargo & Co    1.654   06/02/24   838,360 
 1,500,000     Wells Fargo & Co    2.164   02/11/26   1,548,135 
 1,000,000     Wells Fargo & Co    2.188   04/30/26   1,033,967 
 3,000,000     Wells Fargo & Co    2.572   02/11/31   3,138,277 
 7,025,000     Wells Fargo & Co    3.068   04/30/41   7,309,707 
 500,000     Wells Fargo & Co    5.013   04/04/51   690,515 
 700,000     Wells Fargo Bank NA    3.325   07/23/21   701,140 
 1,300,000     Wells Fargo Bank NA    3.625   10/22/21   1,349,796 
 2,000,000     Wells Fargo Bank NA    2.897   05/27/22   2,039,380 
 1,000,000     Wells Fargo Bank NA    2.082   09/09/22   1,016,134 
 250,000     Wells Fargo Bank NA    6.600   01/15/38   368,705 
 575,000     Westpac Banking Corp    2.000   08/19/21   585,106 
 650,000     Westpac Banking Corp    2.800   01/11/22   673,897 
 925,000     Westpac Banking Corp    2.500   06/28/22   961,308 
 300,000     Westpac Banking Corp    2.750   01/11/23   315,950 
 1,150,000     Westpac Banking Corp    3.650   05/15/23   1,247,949 
 750,000     Westpac Banking Corp    3.300   02/26/24   816,612 
 2,000,000     Westpac Banking Corp    2.350   02/19/25   2,123,478 
 1,000,000     Westpac Banking Corp    2.850   05/13/26   1,100,728 
14

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$675,000     Westpac Banking Corp    2.700%  08/19/26  $738,773 
 850,000     Westpac Banking Corp    3.350   03/08/27   963,299 
 725,000     Westpac Banking Corp    3.400   01/25/28   826,575 
 1,000,000     Westpac Banking Corp    2.894   02/04/30   1,017,031 
 950,000     Westpac Banking Corp    4.322   11/23/31   1,054,158 
 600,000     Westpac Banking Corp    4.110   07/24/34   662,265 
 900,000     Westpac Banking Corp    4.421   07/24/39   1,062,428 
 400,000     Zions Bancorp NA    3.250   10/29/29   394,260 
       TOTAL BANKS               690,339,431 
                      
CAPITAL GOODS - 1.2%                
 500,000     ABB Finance USA, Inc    2.875   05/08/22   519,273 
 1,100,000     ABB Finance USA, Inc    3.375   04/03/23   1,165,546 
 300,000     ABB Finance USA, Inc    3.800   04/03/28   351,862 
 650,000     ABB Finance USA, Inc    4.375   05/08/42   821,336 
 200,000     Air Lease Corp    2.500   03/01/21   200,028 
 200,000     Air Lease Corp    3.875   04/01/21   201,151 
 200,000     Air Lease Corp    3.375   06/01/21   200,795 
 625,000     Air Lease Corp    3.500   01/15/22   631,519 
 500,000     Air Lease Corp    3.750   02/01/22   505,492 
 400,000     Air Lease Corp    2.625   07/01/22   395,747 
 575,000     Air Lease Corp    2.250   01/15/23   566,362 
 200,000     Air Lease Corp    2.750   01/15/23   197,492 
 750,000     Air Lease Corp    3.875   07/03/23   759,687 
 750,000     Air Lease Corp    2.300   02/01/25   714,730 
 1,000,000     Air Lease Corp    3.750   06/01/26   1,009,142 
 500,000     Air Lease Corp    3.625   04/01/27   492,295 
 200,000     Air Lease Corp    3.625   12/01/27   196,135 
 300,000     Air Lease Corp    4.625   10/01/28   308,551 
 500,000     Air Lease Corp    3.250   10/01/29   476,038 
 750,000     Air Lease Corp    3.000   02/01/30   695,008 
 500,000     Aircastle Ltd    5.125   03/15/21   502,006 
 200,000     Aircastle Ltd    4.400   09/25/23   194,018 
 1,000,000     Aircastle Ltd    4.125   05/01/24   945,144 
 500,000     Aircastle Ltd    4.250   06/15/26   458,879 
 500,000     Allegion plc    3.500   10/01/29   524,133 
 100,000     Carlisle Cos, Inc    3.750   11/15/22   104,195 
 200,000     Carlisle Cos, Inc    3.500   12/01/24   216,417 
 500,000     Carlisle Cos, Inc    3.750   12/01/27   548,118 
 1,000,000     Carlisle Cos, Inc    2.750   03/01/30   1,029,026 
 775,000  g  Carrier Global Corp    1.923   02/15/23   790,691 
 2,000,000  g  Carrier Global Corp    2.493   02/15/27   2,037,045 
 1,100,000  g  Carrier Global Corp    2.722   02/15/30   1,102,577 
 150,000  g  Carrier Global Corp    2.700   02/15/31   149,125 
 2,000,000  g  Carrier Global Corp    3.377   04/05/40   1,945,062 
 900,000  g  Carrier Global Corp    3.577   04/05/50   878,121 
 1,950,000     Caterpillar Financial Services Corp    2.950   02/26/22   2,031,113 
 1,000,000     Caterpillar Financial Services Corp    1.900   09/06/22   1,031,810 
 300,000     Caterpillar Financial Services Corp    3.450   05/15/23   324,906 
 1,000,000     Caterpillar Financial Services Corp    2.850   05/17/24   1,081,468 
 1,000,000     Caterpillar Financial Services Corp    1.450   05/15/25   1,026,771 
 500,000     Caterpillar Financial Services Corp    2.400   08/09/26   540,630 
 2,775,000     Caterpillar, Inc    3.400   05/15/24   3,047,499 
15

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000     Caterpillar, Inc    2.600%  09/19/29  $542,622 
 1,500,000     Caterpillar, Inc    2.600   04/09/30   1,631,070 
 225,000     Caterpillar, Inc    5.200   05/27/41   311,369 
 2,363,000     Caterpillar, Inc    3.803   08/15/42   2,824,899 
 300,000     Caterpillar, Inc    4.300   05/15/44   376,475 
 750,000     Caterpillar, Inc    3.250   09/19/49   831,041 
 750,000     Caterpillar, Inc    3.250   04/09/50   837,617 
 1,300,000     CNH Industrial Capital LLC    3.875   10/15/21   1,332,366 
 225,000 h   CNH Industrial Capital LLC    1.950   07/02/23   226,522 
 300,000     CNH Industrial Capital LLC    4.200   01/15/24   319,651 
 500,000     CNH Industrial NV    3.850   11/15/27   526,870 
 200,000     Crane Co    4.200   03/15/48   195,130 
 300,000     CRH America, Inc    5.750   01/15/21   306,342 
 200,000     Cummins, Inc    3.650   10/01/23   217,407 
 200,000     Cummins, Inc    4.875   10/01/43   264,819 
 350,000     Deere & Co    2.600   06/08/22   363,349 
 218,000     Deere & Co    5.375   10/16/29   283,613 
 1,025,000     Deere & Co    3.900   06/09/42   1,280,233 
 500,000     Deere & Co    2.875   09/07/49   532,761 
 1,000,000     Deere & Co    3.750   04/15/50   1,229,645 
 825,000     Dover Corp    3.150   11/15/25   891,849 
 100,000     Dover Corp    2.950   11/04/29   106,965 
 100,000     Dover Corp    5.375   03/01/41   128,419 
 2,200,000     Eaton Corp    2.750   11/02/22   2,314,106 
 200,000     Eaton Corp    3.103   09/15/27   221,716 
 150,000     Eaton Corp    4.000   11/02/32   177,319 
 925,000     Eaton Corp    4.150   11/02/42   1,093,040 
 200,000     Eaton Corp    3.915   09/15/47   231,767 
 350,000     Emerson Electric Co    2.625   02/15/23   367,081 
 200,000     Emerson Electric Co    3.150   06/01/25   222,077 
 500,000     Emerson Electric Co    1.800   10/15/27   517,120 
 750,000     Emerson Electric Co    1.950   10/15/30   764,979 
 200,000     Emerson Electric Co    5.250   11/15/39   271,928 
 500,000     Emerson Electric Co    2.750   10/15/50   498,983 
 150,000     Flowserve Corp    3.500   09/15/22   155,025 
 200,000     Flowserve Corp    4.000   11/15/23   205,706 
 500,000     Fortive Corp    2.350   06/15/21   506,304 
 875,000     Fortive Corp    3.150   06/15/26   959,218 
 250,000     Fortive Corp    4.300   06/15/46   280,572 
 325,000     General Dynamics Corp    2.250   11/15/22   338,068 
 825,000     General Dynamics Corp    3.375   05/15/23   892,551 
 300,000     General Dynamics Corp    1.875   08/15/23   311,961 
 1,200,000     General Dynamics Corp    2.375   11/15/24   1,282,391 
 975,000     General Dynamics Corp    3.500   05/15/25   1,093,288 
 750,000     General Dynamics Corp    3.750   05/15/28   874,449 
 225,000     General Dynamics Corp    3.600   11/15/42   259,399 
 1,950,000     General Dynamics Corp    4.250   04/01/50   2,532,927 
 532,000     General Electric Co    4.375   09/16/20   536,260 
 919,000     General Electric Co    3.150   09/07/22   961,596 
 2,350,000     General Electric Co    2.700   10/09/22   2,441,860 
 300,000     General Electric Co    3.100   01/09/23   313,962 
 250,000     General Electric Co    3.375   03/11/24   266,610 
 5,503,000     General Electric Co    3.450   05/15/24   5,864,468 
 1,102,000     General Electric Co    6.750   03/15/32   1,349,182 
16

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$250,000     General Electric Co   5.875%  01/14/38  $279,686 
 100,000     General Electric Co   6.875   01/10/39   122,906 
 750,000     General Electric Co   4.250   05/01/40   737,424 
 2,875,000     General Electric Co   4.125   10/09/42   2,730,703 
 1,500,000     General Electric Co   4.350   05/01/50   1,486,564 
 100,000     Hexcel Corp   3.950   02/15/27   107,278 
 900,000     Honeywell International, Inc   1.850   11/01/21   917,167 
 500,000     Honeywell International, Inc   3.350   12/01/23   545,856 
 1,000,000     Honeywell International, Inc   1.350   06/01/25   1,026,892 
 1,700,000     Honeywell International, Inc   2.500   11/01/26   1,871,262 
 950,000     Honeywell International, Inc   1.950   06/01/30   992,580 
 782,000     Honeywell International, Inc   3.812   11/21/47   963,179 
 575,000     Honeywell International, Inc   2.800   06/01/50   613,253 
 125,000     Howmet Aerospace, Inc   6.875   05/01/25   135,765 
 100,000     Hubbell, Inc   3.625   11/15/22   104,321 
 200,000     Hubbell, Inc   3.350   03/01/26   214,433 
 500,000     Hubbell, Inc   3.150   08/15/27   519,729 
 200,000     Hubbell, Inc   3.500   02/15/28   210,462 
 500,000  g  Huntington Ingalls Industries, Inc   3.844   05/01/25   542,912 
 400,000     Huntington Ingalls Industries, Inc   3.483   12/01/27   430,814 
 500,000  g  Huntington Ingalls Industries, Inc   4.200   05/01/30   557,015 
 200,000     IDEX Corp   4.200   12/15/21   206,075 
 500,000     IDEX Corp   3.000   05/01/30   521,629 
 1,000,000     Illinois Tool Works, Inc   2.650   11/15/26   1,103,027 
 200,000     Illinois Tool Works, Inc   4.875   09/15/41   272,034 
 1,000,000     Illinois Tool Works, Inc   3.900   09/01/42   1,236,523 
 300,000     Ingersoll-Rand Global Holding Co Ltd   2.900   02/21/21   303,321 
 300,000     Ingersoll-Rand Global Holding Co Ltd   4.250   06/15/23   331,045 
 400,000     Ingersoll-Rand Global Holding Co Ltd   3.750   08/21/28   443,692 
 200,000     Ingersoll-Rand Global Holding Co Ltd   5.750   06/15/43   261,300 
 450,000     Ingersoll-Rand Global Holding Co Ltd   4.300   02/21/48   509,020 
 600,000     Ingersoll-Rand Luxembourg Finance S.A.   3.550   11/01/24   660,969 
 100,000     Ingersoll-Rand Luxembourg Finance S.A.   3.500   03/21/26   109,310 
 1,000,000     Ingersoll-Rand Luxembourg Finance S.A.   3.800   03/21/29   1,131,403 
 300,000     Ingersoll-Rand Luxembourg Finance S.A.   4.500   03/21/49   358,733 
 500,000     John Deere Capital Corp   2.300   06/07/21   508,534 
 300,000     John Deere Capital Corp   3.125   09/10/21   309,547 
 200,000     John Deere Capital Corp   3.150   10/15/21   207,100 
 600,000     John Deere Capital Corp   2.650   01/06/22   619,873 
 500,000     John Deere Capital Corp   3.200   01/10/22   521,382 
 2,700,000     John Deere Capital Corp   2.950   04/01/22   2,817,869 
 200,000     John Deere Capital Corp   1.950   06/13/22   205,733 
 400,000     John Deere Capital Corp   2.150   09/08/22   414,935 
 200,000     John Deere Capital Corp   2.700   01/06/23   210,839 
 1,425,000     John Deere Capital Corp   2.800   03/06/23   1,513,799 
 250,000     John Deere Capital Corp   1.200   04/06/23   254,597 
 300,000     John Deere Capital Corp   3.450   06/07/23   325,638 
 1,000,000     John Deere Capital Corp   0.700   07/05/23   1,003,530 
 200,000     John Deere Capital Corp   3.650   10/12/23   219,969 
 750,000     John Deere Capital Corp   3.450   01/10/24   822,767 
 500,000     John Deere Capital Corp   2.600   03/07/24   533,095 
 850,000     John Deere Capital Corp   2.650   06/24/24   913,825 
 500,000     John Deere Capital Corp   2.050   01/09/25   528,338 
 125,000     John Deere Capital Corp   3.400   09/11/25   141,150 
17

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000     John Deere Capital Corp   2.250%  09/14/26  $540,802 
 250,000     John Deere Capital Corp   1.750   03/09/27   259,926 
 200,000     John Deere Capital Corp   2.800   09/08/27   223,693 
 200,000     John Deere Capital Corp   3.050   01/06/28   222,791 
 500,000     John Deere Capital Corp   2.800   07/18/29   554,650 
 500,000     John Deere Capital Corp   2.450   01/09/30   542,132 
 474,000     Johnson Controls International plc   3.900   02/14/26   527,288 
 207,000     Johnson Controls International plc   6.000   01/15/36   260,222 
 35,000     Johnson Controls International plc   5.125   09/14/45   42,148 
 300,000     Johnson Controls International plc   4.500   02/15/47   341,750 
 280,000     Johnson Controls International plc (Step Bond)   3.625   07/02/24   299,122 
 325,000     Johnson Controls International plc (Step Bond)   4.625   07/02/44   367,251 
 72,000     Johnson Controls International plc (Step Bond)   4.950   07/02/64   85,419 
 150,000     Kennametal, Inc   3.875   02/15/22   155,634 
 200,000     Kennametal, Inc   4.625   06/15/28   214,287 
 125,000     KLA-Tencor Corp   4.650   11/01/24   143,276 
 300,000     KLA-Tencor Corp   4.100   03/15/29   353,967 
 500,000     KLA-Tencor Corp   5.000   03/15/49   652,377 
 300,000     L3Harris Technologies, Inc   4.950   02/15/21   303,694 
 475,000     L3Harris Technologies, Inc   3.850   06/15/23   516,444 
 52,000     L3Harris Technologies, Inc   3.950   05/28/24   56,950 
 600,000     L3Harris Technologies, Inc   3.850   12/15/26   686,632 
 625,000     L3Harris Technologies, Inc   4.400   06/15/28   739,168 
 1,275,000     L3Harris Technologies, Inc   4.400   06/15/28   1,507,903 
 175,000     L3Harris Technologies, Inc   2.900   12/15/29   188,408 
 300,000     L3Harris Technologies, Inc   4.854   04/27/35   382,371 
 600,000     L3Harris Technologies, Inc   5.054   04/27/45   787,992 
 100,000     Legrand France S.A.   8.500   02/15/25   133,670 
 100,000     Lennox International, Inc   3.000   11/15/23   103,155 
 500,000     Lockheed Martin Corp   3.100   01/15/23   531,743 
 300,000     Lockheed Martin Corp   2.900   03/01/25   328,901 
 2,200,000     Lockheed Martin Corp   3.550   01/15/26   2,524,208 
 150,000     Lockheed Martin Corp   1.850   06/15/30   153,712 
 300,000     Lockheed Martin Corp   3.600   03/01/35   360,049 
 500,000     Lockheed Martin Corp   4.500   05/15/36   649,141 
 1,833,000     Lockheed Martin Corp   4.070   12/15/42   2,353,353 
 275,000     Lockheed Martin Corp   3.800   03/01/45   333,792 
 200,000     Lockheed Martin Corp   4.700   05/15/46   272,785 
 150,000     Lockheed Martin Corp   2.800   06/15/50   158,217 
 1,894,000     Lockheed Martin Corp   4.090   09/15/52   2,480,201 
 1,000,000     Masco Corp   4.450   04/01/25   1,132,597 
 200,000     Masco Corp   3.500   11/15/27   212,207 
 700,000     Masco Corp   4.500   05/15/47   734,201 
 1,000,000     Mosaic Co   4.250   11/15/23   1,048,299 
 800,000     Mosaic Co   4.050   11/15/27   849,434 
 300,000     Mosaic Co   5.450   11/15/33   318,337 
 600,000     Mosaic Co   5.625   11/15/43   642,050 
 400,000     Northrop Grumman Corp   3.250   08/01/23   430,413 
 1,000,000     Northrop Grumman Corp   2.930   01/15/25   1,080,313 
 300,000     Northrop Grumman Corp   3.200   02/01/27   332,358 
 1,775,000     Northrop Grumman Corp   3.250   01/15/28   1,983,142 
 425,000     Northrop Grumman Corp   4.400   05/01/30   515,101 
 100,000     Northrop Grumman Corp   5.050   11/15/40   132,047 
 700,000     Northrop Grumman Corp   4.750   06/01/43   910,628 
18

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     Northrop Grumman Corp    3.850%  04/15/45  $352,427 
 2,450,000     Northrop Grumman Corp    4.030   10/15/47   2,962,760 
 100,000     Oshkosh Corp    3.100   03/01/30   100,683 
 1,000,000  g  Otis Worldwide Corp    2.056   04/05/25   1,047,979 
 1,000,000  g  Otis Worldwide Corp    2.293   04/05/27   1,044,102 
 525,000  g  Otis Worldwide Corp    2.565   02/15/30   550,537 
 500,000  g  Otis Worldwide Corp    3.112   02/15/40   512,651 
 450,000  g  Otis Worldwide Corp    3.362   02/15/50   476,320 
 250,000     Parker-Hannifin Corp    3.500   09/15/22   263,556 
 200,000     Parker-Hannifin Corp    2.700   06/14/24   212,900 
 300,000     Parker-Hannifin Corp    3.300   11/21/24   325,989 
 650,000     Parker-Hannifin Corp    3.250   03/01/27   707,208 
 1,825,000     Parker-Hannifin Corp    3.250   06/14/29   2,016,035 
 200,000     Parker-Hannifin Corp    4.200   11/21/34   239,498 
 200,000     Parker-Hannifin Corp    4.450   11/21/44   238,540 
 750,000     Parker-Hannifin Corp    4.100   03/01/47   851,467 
 225,000     Parker-Hannifin Corp    4.000   06/14/49   259,006 
 1,150,000     Precision Castparts Corp    2.500   01/15/23   1,205,084 
 775,000     Precision Castparts Corp    3.250   06/15/25   861,099 
 400,000     Precision Castparts Corp    4.200   06/15/35   471,967 
 100,000     Precision Castparts Corp    3.900   01/15/43   110,961 
 625,000  g  Raytheon Technologies Corp    2.800   03/15/22   644,720 
 3,875,000  g  Raytheon Technologies Corp    2.500   12/15/22   4,017,110 
 500,000  g  Raytheon Technologies Corp    3.200   03/15/24   537,896 
 300,000  g  Raytheon Technologies Corp    3.150   12/15/24   324,151 
 1,325,000  g  Raytheon Technologies Corp    3.500   03/15/27   1,489,411 
 200,000  g  Raytheon Technologies Corp    7.200   08/15/27   268,660 
 1,500,000     Raytheon Technologies Corp    2.250   07/01/30   1,564,808 
 100,000  g  Raytheon Technologies Corp    4.700   12/15/41   125,374 
 125,000  g  Raytheon Technologies Corp    4.800   12/15/43   159,498 
 150,000  g  Raytheon Technologies Corp    4.200   12/15/44   171,386 
 700,000  g  Raytheon Technologies Corp    4.350   04/15/47   853,808 
 500,000     Raytheon Technologies Corp    3.125   07/01/50   533,229 
 400,000     Rockwell Automation, Inc    3.500   03/01/29   453,644 
 400,000     Rockwell Automation, Inc    4.200   03/01/49   503,976 
 200,000     Roper Technologies, Inc    3.000   12/15/20   201,809 
 550,000     Roper Technologies, Inc    2.800   12/15/21   565,681 
 500,000     Roper Technologies, Inc    3.650   09/15/23   543,560 
 500,000     Roper Technologies, Inc    2.350   09/15/24   526,978 
 1,100,000     Roper Technologies, Inc    3.800   12/15/26   1,256,282 
 300,000     Roper Technologies, Inc    4.200   09/15/28   351,494 
 500,000     Roper Technologies, Inc    2.950   09/15/29   546,037 
 475,000     Roper Technologies, Inc    2.000   06/30/30   475,234 
 200,000     Snap-on, Inc    3.250   03/01/27   217,532 
 200,000     Snap-on, Inc    4.100   03/01/48   237,492 
 500,000     Snap-on, Inc    3.100   05/01/50   514,262 
 250,000     Stanley Black & Decker, Inc    3.400   12/01/21   258,241 
 600,000     Stanley Black & Decker, Inc    2.900   11/01/22   632,786 
 500,000     Stanley Black & Decker, Inc    3.400   03/01/26   561,483 
 300,000     Stanley Black & Decker, Inc    4.250   11/15/28   359,248 
 1,000,000     Stanley Black & Decker, Inc    2.300   03/15/30   1,044,915 
 100,000     Stanley Black & Decker, Inc    5.200   09/01/40   131,826 
 425,000     Stanley Black & Decker, Inc    4.850   11/15/48   575,541 
 450,000     Stanley Black & Decker, Inc    4.000   03/15/60   450,182 
19

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$150,000     Textron, Inc   4.000%  03/15/26  $159,943 
 500,000     Textron, Inc   3.650   03/15/27   517,838 
 100,000     Textron, Inc   3.375   03/01/28   102,217 
 750,000     Textron, Inc   3.900   09/17/29   794,389 
 500,000     Textron, Inc   3.000   06/01/30   497,665 
 250,000     Timken Co   3.875   09/01/24   262,295 
 200,000     Timken Co   4.500   12/15/28   215,538 
 100,000     Trimble, Inc   4.150   06/15/23   106,590 
 625,000     Trimble, Inc   4.900   06/15/28   717,286 
 52,000     United Technologies Corp   3.650   08/16/23   56,258 
 1,250,000     United Technologies Corp   3.950   08/16/25   1,427,223 
 725,000     United Technologies Corp   3.125   05/04/27   802,932 
 2,550,000     United Technologies Corp   4.125   11/16/28   3,005,079 
 250,000     United Technologies Corp   6.125   07/15/38   362,679 
 750,000     United Technologies Corp   4.450   11/16/38   917,263 
 200,000     United Technologies Corp   5.700   04/15/40   278,079 
 2,150,000     United Technologies Corp   4.500   06/01/42   2,662,173 
 1,650,000     United Technologies Corp   4.150   05/15/45   1,969,990 
 3,325,000     United Technologies Corp   4.625   11/16/48   4,305,458 
 200,000     Valmont Industries, Inc   5.000   10/01/44   207,674 
 200,000     Valmont Industries, Inc   5.250   10/01/54   208,265 
 600,000     Wabtec Corp   4.400   03/15/24   636,086 
 300,000     Wabtec Corp   3.450   11/15/26   308,814 
 875,000     Wabtec Corp   4.950   09/15/28   973,584 
 500,000     Westinghouse Air Brake Technologies Corp   3.200   06/15/25   510,435 
 750,000     WW Grainger, Inc   1.850   02/15/25   783,872 
 800,000     WW Grainger, Inc   4.600   06/15/45   1,004,191 
 200,000     WW Grainger, Inc   3.750   05/15/46   218,590 
 125,000     WW Grainger, Inc   4.200   05/15/47   141,718 
 300,000     Xylem, Inc   4.875   10/01/21   315,762 
 775,000     Xylem, Inc   3.250   11/01/26   855,465 
 225,000     Xylem, Inc   1.950   01/30/28   226,885 
 150,000     Xylem, Inc   2.250   01/30/31   150,904 
 100,000     Xylem, Inc   4.375   11/01/46   107,653 
       TOTAL CAPITAL GOODS           202,594,859 
                     
COMMERCIAL & PROFESSIONAL SERVICES - 0.3%                
 750,000     Air Lease Corp   3.375   07/01/25   749,807 
 750,000     BayCare Health System, Inc   3.831   11/15/50   934,290 
 225,000  g  Daimler Finance North America LLC   3.650   02/22/24   240,170 
 925,000     Daimler Finance North America LLC   8.500   01/18/31   1,409,038 
 675,000     Equifax, Inc   2.300   06/01/21   684,924 
 200,000     Equifax, Inc   3.600   08/15/21   206,389 
 200,000     Equifax, Inc   3.300   12/15/22   209,755 
 200,000     Equifax, Inc   3.950   06/15/23   216,185 
 750,000     Equifax, Inc   2.600   12/01/24   793,191 
 125,000     Equifax, Inc   2.600   12/15/25   133,153 
 100,000     Equifax, Inc   3.100   05/15/30   106,299 
 600,000     Fortune Brands Home & Security, Inc   4.000   09/21/23   654,531 
 200,000     Fortune Brands Home & Security, Inc   4.000   06/15/25   222,071 
 1,000,000     Fortune Brands Home & Security, Inc   3.250   09/15/29   1,065,915 
 600,000     IHS Markit Ltd   4.125   08/01/23   655,860 
20

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$250,000     IHS Markit Ltd   3.625%  05/01/24  $268,075 
 100,000     IHS Markit Ltd   4.750   08/01/28   117,343 
 1,050,000     IHS Markit Ltd   4.250   05/01/29   1,201,316 
 500,000  g  Leidos, Inc   2.950   05/15/23   520,850 
 500,000  g  Leidos, Inc   3.625   05/15/25   544,875 
 100,000  g  Leidos, Inc   4.375   05/15/30   112,645 
 100,000     Partners Healthcare System, Inc   3.765   07/01/48   116,345 
 750,000     Partners Healthcare System, Inc   3.192   07/01/49   795,375 
 100,000     Partners Healthcare System, Inc   4.117   07/01/55   125,941 
 1,000,000     Partners Healthcare System, Inc   3.342   07/01/60   1,074,603 
 725,000     RELX Capital, Inc   3.500   03/16/23   773,126 
 625,000     RELX Capital, Inc   4.000   03/18/29   725,688 
 100,000     RELX Capital, Inc   3.000   05/22/30   108,286 
 580,000     Republic Services, Inc   5.250   11/15/21   616,405 
 250,000     Republic Services, Inc   3.550   06/01/22   262,643 
 750,000     Republic Services, Inc   3.200   03/15/25   821,679 
 900,000     Republic Services, Inc   2.900   07/01/26   983,148 
 100,000     Republic Services, Inc   3.375   11/15/27   112,136 
 500,000     Republic Services, Inc   2.300   03/01/30   521,477 
 1,000,000     Republic Services, Inc   3.050   03/01/50   1,021,064 
 300,000     Steelcase, Inc   5.125   01/18/29   318,428 
 600,000     Thomson Reuters Corp   4.300   11/23/23   660,349 
 1,200,000     Thomson Reuters Corp   3.350   05/15/26   1,304,084 
 145,000     Thomson Reuters Corp   5.850   04/15/40   180,243 
 200,000     Thomson Reuters Corp   5.650   11/23/43   270,458 
 200,000     Verisk Analytics, Inc   5.800   05/01/21   208,430 
 500,000     Verisk Analytics, Inc   4.000   06/15/25   565,850 
 850,000     Verisk Analytics, Inc   4.125   03/15/29   992,928 
 300,000     Verisk Analytics, Inc   5.500   06/15/45   411,289 
 200,000     Verisk Analytics, Inc   3.625   05/15/50   226,562 
 450,000     Visa, Inc   2.150   09/15/22   467,658 
 1,025,000     Visa, Inc   2.800   12/14/22   1,082,038 
 3,725,000     Visa, Inc   3.150   12/14/25   4,155,746 
 700,000     Visa, Inc   2.750   09/15/27   771,667 
 475,000     Visa, Inc   2.050   04/15/30   497,899 
 250,000     Visa, Inc   4.150   12/14/35   319,689 
 1,500,000     Visa, Inc   2.700   04/15/40   1,606,947 
 2,325,000     Visa, Inc   4.300   12/14/45   3,068,765 
 1,125,000     Visa, Inc   3.650   09/15/47   1,367,528 
 750,000     Waste Connections, Inc   3.500   05/01/29   842,055 
 500,000     Waste Connections, Inc   2.600   02/01/30   527,452 
 500,000     Waste Connections, Inc   3.050   04/01/50   503,239 
 310,000     Waste Management, Inc   4.600   03/01/21   315,441 
 850,000     Waste Management, Inc   2.900   09/15/22   888,354 
 100,000     Waste Management, Inc   2.400   05/15/23   104,291 
 1,000,000     Waste Management, Inc   3.500   05/15/24   1,089,345 
 400,000     Waste Management, Inc   2.950   06/15/24   409,493 
 1,000,000     Waste Management, Inc   3.200   06/15/26   1,024,650 
 1,225,000     Waste Management, Inc   3.150   11/15/27   1,372,028 
 500,000     Waste Management, Inc   3.450   06/15/29   517,373 
 234,000     Waste Management, Inc   3.900   03/01/35   277,059 
 200,000     Waste Management, Inc   4.000   07/15/39   206,405 
 325,000     Waste Management, Inc   4.100   03/01/45   388,508 
 900,000     Waste Management, Inc   4.150   07/15/49   1,128,010 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES           47,174,859 
21

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
CONSUMER DURABLES & APPAREL - 0.1%              
$300,000     Coach, Inc   3.000%  07/15/22  $295,185 
 700,000     Coach, Inc   4.125   07/15/27   659,100 
 200,000     DR Horton, Inc   2.550   12/01/20   201,428 
 500,000     DR Horton, Inc   4.375   09/15/22   531,160 
 750,000     DR Horton, Inc   2.500   10/15/24   783,340 
 500,000     DR Horton, Inc   2.600   10/15/25   525,551 
 200,000     Hasbro, Inc   3.150   05/15/21   203,066 
 750,000     Hasbro, Inc   3.550   11/19/26   792,551 
 775,000     Hasbro, Inc   3.500   09/15/27   804,748 
 1,000,000     Hasbro, Inc   3.900   11/19/29   1,041,120 
 100,000     Hasbro, Inc   6.350   03/15/40   115,044 
 200,000     Hasbro, Inc   5.100   05/15/44   204,333 
 200,000     Leggett & Platt, Inc   3.400   08/15/22   206,111 
 475,000     Leggett & Platt, Inc   3.500   11/15/27   484,163 
 350,000     Leggett & Platt, Inc   4.400   03/15/29   376,511 
 100,000     Mohawk Industries, Inc   3.850   02/01/23   106,836 
 750,000     Mohawk Industries, Inc   3.625   05/15/30   816,809 
 300,000     NIKE, Inc   2.250   05/01/23   316,821 
 650,000     NIKE, Inc   2.375   11/01/26   707,443 
 300,000     NIKE, Inc   3.625   05/01/43   349,570 
 825,000     NIKE, Inc   3.875   11/01/45   994,418 
 200,000     NIKE, Inc   3.375   11/01/46   223,738 
 2,440,000     NIKE, Inc   3.375   03/27/50   2,797,545 
 150,000     NVR, Inc   3.950   09/15/22   159,690 
 1,000,000     NVR, Inc   3.000   05/15/30   1,044,955 
 200,000     Ralph Lauren Corp   2.625   08/18/20   200,309 
 1,000,000     Ralph Lauren Corp   1.700   06/15/22   1,017,423 
 200,000     Ralph Lauren Corp   3.750   09/15/25   222,237 
 1,000,000     Ralph Lauren Corp   2.950   06/15/30   1,032,259 
 300,000     VF Corp   2.050   04/23/22   307,970 
 400,000     VF Corp   2.400   04/23/25   421,281 
 200,000     VF Corp   2.800   04/23/27   212,270 
 200,000     VF Corp   2.950   04/23/30   213,699 
 150,000     Whirlpool Corp   4.700   06/01/22   160,600 
 100,000     Whirlpool Corp   3.700   03/01/23   107,382 
 100,000     Whirlpool Corp   4.000   03/01/24   105,511 
 925,000     Whirlpool Corp   4.750   02/26/29   1,091,199 
 200,000     Whirlpool Corp   4.500   06/01/46   219,029 
 775,000     Whirlpool Corp   4.600   05/15/50   879,640 
       TOTAL CONSUMER DURABLES & APPAREL           20,932,045 
                     
CONSUMER SERVICES - 0.6%              
 13,300,000     Anheuser-Busch Cos LLC   3.650   02/01/26   14,933,915 
 3,150,000     Anheuser-Busch Cos LLC   4.700   02/01/36   3,713,625 
 11,075,000     Anheuser-Busch Cos LLC   4.900   02/01/46   13,546,178 
 300,000     Board of Trustees of The Leland Stanford Junior University   3.647   05/01/48   381,829 
 100,000     Children’s Hospital Corp   4.115   01/01/47   124,684 
 1,000,000 h   Children’s Hospital Corp   2.585   02/01/50   1,009,298 
 500,000     Choice Hotels International, Inc   3.700   12/01/29   500,885 
 600,000     Cintas Corp No 2   2.900   04/01/22   623,606 
22

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$675,000     Cintas Corp No 2   3.700%  04/01/27  $766,488 
 500,000     CommonSpirit Health   2.950   11/01/22   516,708 
 750,000     CommonSpirit Health   2.760   10/01/24   773,591 
 1,000,000     CommonSpirit Health   3.347   10/01/29   1,028,373 
 300,000     CommonSpirit Health   4.350   11/01/42   310,507 
 750,000     CommonSpirit Health   3.817   10/01/49   796,393 
 715,000     CommonSpirit Health   4.187   10/01/49   727,869 
 200,000     Darden Restaurants, Inc   3.850   05/01/27   205,365 
 300,000     Darden Restaurants, Inc   4.550   02/15/48   285,404 
 500,000     Emory University   2.143   09/01/30   520,339 
 500,000     Emory University   2.969   09/01/50   536,533 
 200,000     Hyatt Hotels Corp   3.375   07/15/23   201,764 
 100,000     Hyatt Hotels Corp   5.375   04/23/25   105,970 
 100,000     Hyatt Hotels Corp   4.850   03/15/26   105,220 
 200,000     Hyatt Hotels Corp   4.375   09/15/28   205,144 
 100,000     Hyatt Hotels Corp   5.750   04/23/30   110,382 
 750,000     Johns Hopkins University   2.813   01/01/60   788,723 
 1,000,000     Las Vegas Sands Corp   3.200   08/08/24   995,711 
 500,000     Las Vegas Sands Corp   2.900   06/25/25   485,262 
 625,000     Las Vegas Sands Corp   3.500   08/18/26   623,229 
 750,000     Las Vegas Sands Corp   3.900   08/08/29   737,066 
 500,000     Leland Stanford Junior University   1.289   06/01/27   508,569 
 1,000,000     Leland Stanford Junior University   2.413   06/01/50   1,018,078 
 200,000     Marriott International, Inc   3.375   10/15/20   199,899 
 300,000     Marriott International, Inc   2.875   03/01/21   301,498 
 200,000     Marriott International, Inc   3.125   10/15/21   200,414 
 300,000     Marriott International, Inc   4.150   12/01/23   311,278 
 300,000     Marriott International, Inc   3.600   04/15/24   301,646 
 125,000     Marriott International, Inc   5.750   05/01/25   136,228 
 1,250,000     Marriott International, Inc   4.000   04/15/28   1,258,352 
 300,000     Marriott International, Inc   4.650   12/01/28   310,708 
 400,000     Marriott International, Inc   4.625   06/15/30   415,880 
 1,000,000     Massachusetts Institute of Technology   2.294   07/01/51   1,001,484 
 750,000     Massachusetts Institute of Technology   5.600   07/01/11   1,317,415 
 200,000     Massachusetts Institute of Technology   4.678   07/01/14   291,725 
 300,000     Massachusetts Institute of Technology   3.885   07/01/16   373,141 
 650,000     McDonald’s Corp   3.350   04/01/23   696,655 
 150,000     McDonald’s Corp   1.450   09/01/25   153,780 
 2,950,000     McDonald’s Corp   3.700   01/30/26   3,350,185 
 300,000     McDonald’s Corp   3.500   03/01/27   339,377 
 775,000     McDonald’s Corp   3.800   04/01/28   905,314 
 1,250,000     McDonald’s Corp   2.625   09/01/29   1,338,101 
 500,000     McDonald’s Corp   2.125   03/01/30   512,594 
 2,225,000     McDonald’s Corp   4.700   12/09/35   2,791,824 
 250,000     McDonald’s Corp   6.300   10/15/37   362,659 
 100,000     McDonald’s Corp   6.300   03/01/38   146,202 
 250,000     McDonald’s Corp   4.600   05/26/45   308,154 
 1,275,000     McDonald’s Corp   4.875   12/09/45   1,646,775 
 725,000     McDonald’s Corp   4.450   03/01/47   881,870 
 625,000     McDonald’s Corp   4.450   09/01/48   772,157 
 1,825,000     McDonald’s Corp   3.625   09/01/49   2,022,532 
 1,350,000     McDonald’s Corp   4.200   04/01/50   1,635,204 
 750,000 h   Northeastern University   2.894   10/01/50   759,711 
 200,000     Northwestern University   3.868   12/01/48   244,659 
23

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$750,000     Northwestern University   2.640%  12/01/50  $789,038 
 200,000     Northwestern University   3.662   12/01/57   247,382 
 1,000,000     President & Fellows of Harvard College   2.517   10/15/50   1,035,225 
 750,000     President and Fellows of Harvard College   3.619   10/01/37   918,652 
 200,000     President and Fellows of Harvard College   3.150   07/15/46   232,355 
 200,000     President and Fellows of Harvard College   3.300   07/15/56   242,864 
 1,250,000     Sands China Ltd   4.600   08/08/23   1,316,000 
 1,300,000     Sands China Ltd   5.125   08/08/25   1,408,303 
 1,100,000     Sands China Ltd   5.400   08/08/28   1,214,158 
 200,000     Starbucks Corp   2.100   02/04/21   201,652 
 200,000     Starbucks Corp   2.700   06/15/22   207,797 
 525,000     Starbucks Corp   3.850   10/01/23   575,574 
 175,000     Starbucks Corp   2.450   06/15/26   186,635 
 500,000     Starbucks Corp   2.000   03/12/27   523,024 
 750,000     Starbucks Corp   3.500   03/01/28   843,935 
 650,000     Starbucks Corp   4.000   11/15/28   760,504 
 750,000     Starbucks Corp   3.550   08/15/29   855,091 
 500,000     Starbucks Corp   2.250   03/12/30   519,360 
 1,500,000     Starbucks Corp   2.550   11/15/30   1,573,019 
 200,000     Starbucks Corp   4.300   06/15/45   233,357 
 200,000     Starbucks Corp   3.750   12/01/47   214,975 
 650,000     Starbucks Corp   4.500   11/15/48   765,826 
 1,000,000     Starbucks Corp   4.450   08/15/49   1,207,924 
 500,000     Starbucks Corp   3.350   03/12/50   500,076 
 1,000,000     Starbucks Corp   3.500   11/15/50   1,050,627 
 200,000     Trinity Acquisition plc   3.500   09/15/21   204,900 
 200,000     Trinity Acquisition plc   4.400   03/15/26   227,836 
 500,000     Trustees of Boston College   3.129   07/01/52   576,889 
 100,000     Trustees of Boston University   4.061   10/01/48   126,018 
 1,000,000     Trustees of Princeton University   2.516   07/01/50   1,036,185 
 200,000     Wesleyan University   4.781   07/01/16   235,130 
 500,000     Yale University   0.873   04/15/25   503,857 
 750,000     Yale University   1.482   04/15/30   757,875 
 750,000     Yale University   2.402   04/15/50   763,932 
       TOTAL CONSUMER SERVICES           94,530,104 
                     
DIVERSIFIED FINANCIALS - 2.9%              
 1,083,000     AerCap Ireland Capital DAC   5.000   10/01/21   1,095,243 
 300,000     AerCap Ireland Capital DAC   4.450   12/16/21   302,983 
 800,000     AerCap Ireland Capital DAC   3.950   02/01/22   800,268 
 200,000     AerCap Ireland Capital DAC   3.300   01/23/23   196,372 
 300,000     AerCap Ireland Capital DAC   4.125   07/03/23   293,348 
 1,500,000 h   AerCap Ireland Capital DAC   4.500   09/15/23   1,500,176 
 600,000     AerCap Ireland Capital DAC   4.875   01/16/24   596,038 
 750,000     AerCap Ireland Capital DAC   2.875   08/14/24   703,755 
 1,675,000     AerCap Ireland Capital DAC   3.500   01/15/25   1,572,132 
 300,000     AerCap Ireland Capital DAC   4.450   10/01/25   287,977 
 500,000     AerCap Ireland Capital DAC   4.450   04/03/26   473,876 
 250,000     AerCap Ireland Capital DAC   3.650   07/21/27   221,176 
 200,000     AerCap Ireland Capital DAC   3.875   01/23/28   180,555 
 200,000     Affiliated Managers Group, Inc   4.250   02/15/24   217,059 
 1,000,000     Affiliated Managers Group, Inc   3.300   06/15/30   1,018,598 
 20,000     Ahold Finance USA LLC   6.875   05/01/29   27,705 
 1,000,000     Ally Financial, Inc   4.125   02/13/22   1,028,228 
24

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,000,000     Ally Financial, Inc   3.050%  06/05/23  $1,013,834 
 500,000     Ally Financial, Inc   5.800   05/01/25   558,238 
 2,000,000     Ally Financial, Inc   8.000   11/01/31   2,580,060 
 200,000     American Express Co   3.700   11/05/21   207,995 
 1,050,000     American Express Co   2.500   08/01/22   1,089,526 
 175,000     American Express Co   2.650   12/02/22   183,302 
 5,000,000     American Express Co   3.400   02/27/23   5,351,101 
 2,000,000     American Express Co   3.700   08/03/23   2,176,480 
 750,000     American Express Co   3.000   10/30/24   811,900 
 1,000,000     American Express Co   4.200   11/06/25   1,163,385 
 2,500,000     American Express Co   3.125   05/20/26   2,773,232 
 525,000     American Express Co   4.050   12/03/42   634,891 
 1,050,000     American Express Credit Corp   2.700   03/03/22   1,087,170 
 675,000     American Honda Finance Corp   2.650   02/12/21   683,571 
 450,000     American Honda Finance Corp   1.650   07/12/21   455,233 
 375,000     American Honda Finance Corp   1.700   09/09/21   380,446 
 950,000     American Honda Finance Corp   3.375   12/10/21   986,393 
 1,000,000     American Honda Finance Corp   1.950   05/20/22   1,022,675 
 325,000     American Honda Finance Corp   2.050   01/10/23   336,057 
 300,000     American Honda Finance Corp   3.450   07/14/23   322,667 
 500,000     American Honda Finance Corp   3.625   10/10/23   543,066 
 300,000     American Honda Finance Corp   3.550   01/12/24   326,828 
 200,000     American Honda Finance Corp   2.900   02/16/24   212,976 
 1,000,000     American Honda Finance Corp   2.400   06/27/24   1,051,887 
 500,000     American Honda Finance Corp   2.150   09/10/24   522,344 
 100,000     American Honda Finance Corp   2.300   09/09/26   106,340 
 1,000,000     American Honda Finance Corp   2.350   01/08/27   1,059,196 
 500,000     American Honda Finance Corp   3.500   02/15/28   566,030 
 150,000     Ameriprise Financial, Inc   3.000   03/22/22   156,094 
 875,000     Ameriprise Financial, Inc   4.000   10/15/23   966,201 
 300,000     Ameriprise Financial, Inc   3.700   10/15/24   334,771 
 125,000     Ameriprise Financial, Inc   3.000   04/02/25   135,675 
 200,000     Ameriprise Financial, Inc   2.875   09/15/26   216,616 
 200,000     Ares Capital Corp   3.625   01/19/22   203,500 
 600,000     Ares Capital Corp   3.500   02/10/23   603,528 
 850,000     Ares Capital Corp   4.200   06/10/24   870,342 
 500,000     Ares Capital Corp   4.250   03/01/25   511,193 
 500,000     Ares Capital Corp   3.250   07/15/25   485,256 
 750,000     Australia & New Zealand Banking Group Ltd   2.300   06/01/21   763,184 
 750,000     Australia & New Zealand Banking Group Ltd   2.550   11/23/21   771,837 
 300,000     Australia & New Zealand Banking Group Ltd   2.625   05/19/22   312,583 
 550,000     Australia & New Zealand Banking Group Ltd   2.625   11/09/22   578,523 
 1,000,000     Australia & New Zealand Banking Group Ltd   2.050   11/21/22   1,037,077 
 525,000     Australia & New Zealand Banking Group Ltd   3.700   11/16/25   598,633 
 350,000     AXA Equitable Holdings, Inc   3.900   04/20/23   374,639 
 1,375,000     AXA Equitable Holdings, Inc   4.350   04/20/28   1,539,799 
 975,000     AXA Equitable Holdings, Inc   5.000   04/20/48   1,110,288 
 1,000,000     Bank of Montreal   1.900   08/27/21   1,017,783 
 1,500,000     Bank of Montreal   2.900   03/26/22   1,563,424 
 850,000     Bank of Montreal   2.350   09/11/22   888,048 
 1,000,000     Bank of Montreal   2.050   11/01/22   1,032,601 
 350,000     Bank of Montreal   2.550   11/06/22   366,903 
 1,425,000     Bank of Montreal   3.300   02/05/24   1,546,125 
 1,000,000     Bank of Montreal   2.500   06/28/24   1,060,592 
25

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$750,000     Bank of Montreal   1.850%  05/01/25  $776,473 
 750,000     Bank of Montreal   4.338   10/05/28   800,915 
 425,000     Bank of Montreal   3.803   12/15/32   457,432 
 750,000     Bank of Montreal   4.800   N/A‡   737,250 
 500,000     Bank of New York Mellon Corp   3.550   09/23/21   517,933 
 925,000     Bank of New York Mellon Corp   2.600   02/07/22   955,202 
 375,000     Bank of New York Mellon Corp   1.950   08/23/22   386,213 
 2,625,000     Bank of New York Mellon Corp   2.950   01/29/23   2,791,026 
 1,025,000     Bank of New York Mellon Corp   3.500   04/28/23   1,107,202 
 825,000     Bank of New York Mellon Corp   2.200   08/16/23   862,273 
 350,000     Bank of New York Mellon Corp   3.650   02/04/24   386,330 
 800,000     Bank of New York Mellon Corp   3.250   09/11/24   878,549 
 1,750,000     Bank of New York Mellon Corp   2.100   10/24/24   1,844,245 
 500,000     Bank of New York Mellon Corp   3.000   02/24/25   547,066 
 500,000     Bank of New York Mellon Corp   2.800   05/04/26   552,623 
 500,000     Bank of New York Mellon Corp   2.450   08/17/26   543,909 
 800,000     Bank of New York Mellon Corp   3.250   05/16/27   903,727 
 1,000,000     Bank of New York Mellon Corp   3.400   01/29/28   1,147,945 
 600,000     Bank of New York Mellon Corp   3.850   04/28/28   718,822 
 400,000     Bank of New York Mellon Corp   3.300   08/23/29   449,739 
 1,325,000     Berkshire Hathaway, Inc   2.750   03/15/23   1,403,138 
 2,400,000     Berkshire Hathaway, Inc   3.125   03/15/26   2,688,632 
 800,000     Berkshire Hathaway, Inc   4.500   02/11/43   1,061,537 
 250,000     BGC Partners, Inc   5.375   07/24/23   260,106 
 500,000     BGC Partners, Inc   3.750   10/01/24   493,004 
 5,325,000     BlackRock, Inc   3.375   06/01/22   5,629,322 
 500,000     BlackRock, Inc   3.500   03/18/24   553,873 
 850,000     BlackRock, Inc   3.250   04/30/29   977,266 
 450,000     BlackRock, Inc   1.900   01/28/31   459,744 
 200,000     Block Financial LLC   5.500   11/01/22   213,142 
 200,000     Block Financial LLC   5.250   10/01/25   220,436 
 675,000     BNP Paribas S.A.   3.250   03/03/23   725,666 
 1,350,000     BNP Paribas S.A.   4.250   10/15/24   1,486,805 
 300,000     Brookfield Asset Management, Inc   4.000   01/15/25   330,336 
 1,000,000     Brookfield Finance LLC   3.450   04/15/50   958,536 
 550,000     Brookfield Finance, Inc   4.000   04/01/24   596,384 
 200,000     Brookfield Finance, Inc   4.250   06/02/26   225,000 
 300,000     Brookfield Finance, Inc   3.900   01/25/28   329,253 
 600,000     Brookfield Finance, Inc   4.850   03/29/29   706,086 
 300,000     Brookfield Finance, Inc   4.350   04/15/30   338,536 
 725,000     Brookfield Finance, Inc   4.700   09/20/47   835,200 
 800,000     Canadian Imperial Bank of Commerce   0.950   06/23/23   803,312 
 275,000     Capital One Bank USA NA   3.375   02/15/23   289,553 
 2,250,000     Capital One Financial Corp   3.050   03/09/22   2,335,605 
 1,925,000     Capital One Financial Corp   3.200   01/30/23   2,027,350 
 500,000     Capital One Financial Corp   2.600   05/11/23   522,128 
 150,000     Capital One Financial Corp   3.500   06/15/23   160,645 
 300,000     Capital One Financial Corp   3.900   01/29/24   326,245 
 750,000     Capital One Financial Corp   3.300   10/30/24   807,238 
 125,000     Capital One Financial Corp   3.200   02/05/25   133,760 
 625,000     Capital One Financial Corp   4.250   04/30/25   702,290 
 850,000     Capital One Financial Corp   4.200   10/29/25   943,231 
26

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$700,000     Capital One Financial Corp   3.750%  07/28/26  $763,844 
 1,075,000     Capital One Financial Corp   3.750   03/09/27   1,186,967 
 1,000,000     Capital One Financial Corp   3.650   05/11/27   1,093,322 
 2,700,000     Capital One Financial Corp   3.800   01/31/28   3,001,941 
 450,000     CBOE Holdings, Inc   3.650   01/12/27   505,590 
 500,000     Celanese US Holdings LLC   4.625   11/15/22   530,686 
 200,000     Celanese US Holdings LLC   3.500   05/08/24   211,118 
 425,000     Charles Schwab Corp   2.650   01/25/23   447,304 
 300,000     Charles Schwab Corp   3.550   02/01/24   328,878 
 200,000     Charles Schwab Corp   3.000   03/10/25   218,556 
 1,250,000     Charles Schwab Corp   3.850   05/21/25   1,422,681 
 500,000     Charles Schwab Corp   3.200   03/02/27   558,078 
 200,000     Charles Schwab Corp   3.200   01/25/28   223,575 
 300,000     Charles Schwab Corp   4.000   02/01/29   353,927 
 1,000,000     Charles Schwab Corp   3.250   05/22/29   1,125,435 
 350,000     CME Group, Inc   3.000   09/15/22   369,278 
 475,000     CME Group, Inc   3.000   03/15/25   524,375 
 500,000     CME Group, Inc   3.750   06/15/28   600,609 
 400,000     CME Group, Inc   5.300   09/15/43   585,838 
 500,000     CME Group, Inc   4.150   06/15/48   672,395 
 2,000,000     Credit Suisse AG.   2.100   11/12/21   2,041,880 
 2,000,000     Credit Suisse AG.   1.000   05/05/23   2,010,988 
 2,900,000     Credit Suisse AG.   3.625   09/09/24   3,202,961 
 500,000     Credit Suisse AG.   2.950   04/09/25   542,371 
 1,275,000     Credit Suisse Group Funding Guernsey Ltd   3.800   06/09/23   1,372,920 
 2,300,000     Credit Suisse Group Funding Guernsey Ltd   3.750   03/26/25   2,534,996 
 2,750,000     Credit Suisse Group Funding Guernsey Ltd   4.550   04/17/26   3,162,114 
 1,250,000     Credit Suisse Group Funding Guernsey Ltd   4.875   05/15/45   1,660,785 
 2,000,000     Deutsche Bank AG.   3.150   01/22/21   2,009,375 
 500,000     Deutsche Bank AG.   4.250   02/04/21   505,642 
 500,000     Deutsche Bank AG.   3.375   05/12/21   504,470 
 400,000     Deutsche Bank AG.   3.300   11/16/22   409,135 
 750,000     Deutsche Bank AG.   3.950   02/27/23   778,857 
 525,000     Deutsche Bank AG.   3.700   05/30/24   547,153 
 1,000,000     Deutsche Bank AG.   3.961   11/26/25   1,049,077 
 1,800,000     Deutsche Bank AG.   4.100   01/13/26   1,903,704 
 2,575,000     Diageo Investment Corp   2.875   05/11/22   2,691,249 
 100,000     Diageo Investment Corp   4.250   05/11/42   124,538 
 100,000     Discover Financial Services   5.200   04/27/22   106,748 
 700,000     Discover Financial Services   3.950   11/06/24   765,633 
 200,000     Discover Financial Services   4.500   01/30/26   224,111 
 350,000     Discover Financial Services   4.100   02/09/27   382,485 
 475,000     E*TRADE Financial Corp   2.950   08/24/22   494,821 
 200,000     E*TRADE Financial Corp   3.800   08/24/27   221,765 
 300,000     E*TRADE Financial Corp   4.500   06/20/28   346,858 
 300,000     Eaton Vance Corp   3.625   06/15/23   321,330 
 200,000     Eaton Vance Corp   3.500   04/06/27   219,346 
 750,000     Ford Foundation   2.415   06/01/50   763,425 
 525,000     Ford Foundation   2.815   06/01/70   544,114 
 150,000     Franklin Resources, Inc   2.800   09/15/22   156,101 
 200,000     Franklin Resources, Inc   2.850   03/30/25   216,367 
 750,000     FS KKR Capital Corp   4.125   02/01/25   724,339 
 2,852,000     GE Capital International Funding Co   2.342   11/15/20   2,870,472 
 5,768,000     GE Capital International Funding Co   3.373   11/15/25   6,052,200 
27

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$8,444,000     GE Capital International Funding Co   4.418%  11/15/35  $8,572,739 
 2,000,000     General Motors Financial Co, Inc   3.550   04/09/21   2,024,144 
 875,000     General Motors Financial Co, Inc   3.200   07/06/21   885,088 
 575,000     General Motors Financial Co, Inc   4.200   11/06/21   589,690 
 1,000,000     General Motors Financial Co, Inc   3.450   01/14/22   1,016,411 
 2,700,000     General Motors Financial Co, Inc   3.450   04/10/22   2,753,161 
 525,000     General Motors Financial Co, Inc   3.150   06/30/22   534,139 
 850,000     General Motors Financial Co, Inc   3.550   07/08/22   871,507 
 300,000     General Motors Financial Co, Inc   3.250   01/05/23   306,536 
 1,125,000     General Motors Financial Co, Inc   3.700   05/09/23   1,158,415 
 725,000     General Motors Financial Co, Inc   4.150   06/19/23   757,793 
 650,000     General Motors Financial Co, Inc   5.100   01/17/24   694,782 
 725,000     General Motors Financial Co, Inc   3.950   04/13/24   750,014 
 1,500,000     General Motors Financial Co, Inc   3.500   11/07/24   1,520,054 
 125,000     General Motors Financial Co, Inc   4.000   01/15/25   130,670 
 1,000,000     General Motors Financial Co, Inc   2.900   02/26/25   996,012 
 5,175,000     General Motors Financial Co, Inc   4.350   04/09/25   5,461,778 
 500,000     General Motors Financial Co, Inc   2.750   06/20/25   492,734 
 450,000     General Motors Financial Co, Inc   4.300   07/13/25   468,895 
 275,000     General Motors Financial Co, Inc   5.250   03/01/26   299,704 
 525,000     General Motors Financial Co, Inc   4.000   10/06/26   544,983 
 1,400,000     General Motors Financial Co, Inc   4.350   01/17/27   1,448,357 
 1,100,000     General Motors Financial Co, Inc   3.850   01/05/28   1,092,772 
 2,400,000     General Motors Financial Co, Inc   5.650   01/17/29   2,673,589 
 500,000     General Motors Financial Co, Inc   3.600   06/21/30   485,457 
 500,000     Goldman Sachs BDC, Inc   3.750   02/10/25   514,916 
 1,300,000     Goldman Sachs Group, Inc   5.250   07/27/21   1,364,959 
 675,000     Goldman Sachs Group, Inc   2.350   11/15/21   679,330 
 5,625,000     Goldman Sachs Group, Inc   5.750   01/24/22   6,068,655 
 1,350,000     Goldman Sachs Group, Inc   3.000   04/26/22   1,376,163 
 2,275,000     Goldman Sachs Group, Inc   3.625   01/22/23   2,436,639 
 5,425,000     Goldman Sachs Group, Inc   3.200   02/23/23   5,758,166 
 2,575,000     Goldman Sachs Group, Inc   3.625   02/20/24   2,799,937 
 2,025,000     Goldman Sachs Group, Inc   4.000   03/03/24   2,237,631 
 425,000     Goldman Sachs Group, Inc   3.850   07/08/24   468,681 
 600,000     Goldman Sachs Group, Inc   3.500   01/23/25   653,194 
 250,000     Goldman Sachs Group, Inc   3.500   04/01/25   274,127 
 1,100,000     Goldman Sachs Group, Inc   3.750   05/22/25   1,218,773 
 2,375,000     Goldman Sachs Group, Inc   3.272   09/29/25   2,560,389 
 575,000     Goldman Sachs Group, Inc   4.250   10/21/25   648,013 
 1,125,000     Goldman Sachs Group, Inc   3.750   02/25/26   1,254,712 
 425,000     Goldman Sachs Group, Inc   3.500   11/16/26   467,398 
 125,000     Goldman Sachs Group, Inc   5.950   01/15/27   155,096 
 3,950,000     Goldman Sachs Group, Inc   3.850   01/26/27   4,455,658 
 4,475,000     Goldman Sachs Group, Inc   3.691   06/05/28   5,012,058 
 8,525,000     Goldman Sachs Group, Inc   3.814   04/23/29   9,635,225 
 550,000     Goldman Sachs Group, Inc   4.223   05/01/29   639,833 
 2,500,000     Goldman Sachs Group, Inc   2.600   02/07/30   2,609,883 
 900,000     Goldman Sachs Group, Inc   6.750   10/01/37   1,297,754 
 925,000     Goldman Sachs Group, Inc   4.017   10/31/38   1,080,663 
 4,525,000     Goldman Sachs Group, Inc   4.411   04/23/39   5,518,192 
 2,475,000     Goldman Sachs Group, Inc   6.250   02/01/41   3,695,659 
 1,225,000     Goldman Sachs Group, Inc   4.800   07/08/44   1,596,933 
 1,650,000     Goldman Sachs Group, Inc   5.150   05/22/45   2,180,962 
28

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$200,000     Goldman Sachs Group, Inc   4.750%  10/21/45  $262,197 
 300,000     Intercontinental Exchange, Inc   2.350   09/15/22   311,265 
 300,000     Intercontinental Exchange, Inc   3.450   09/21/23   323,918 
 350,000     Intercontinental Exchange, Inc   4.000   10/15/23   387,043 
 825,000     Intercontinental Exchange, Inc   3.750   12/01/25   940,032 
 1,000,000     Intercontinental Exchange, Inc   3.100   09/15/27   1,112,817 
 500,000     Intercontinental Exchange, Inc   3.750   09/21/28   582,347 
 1,500,000     Intercontinental Exchange, Inc   2.100   06/15/30   1,528,134 
 575,000     Intercontinental Exchange, Inc   4.250   09/21/48   733,468 
 1,000,000     Intercontinental Exchange, Inc   3.000   06/15/50   1,041,319 
 600,000     International Lease Finance Corp   5.875   08/15/22   631,247 
 125,000     Invesco Finance plc   3.125   11/30/22   131,887 
 200,000     Invesco Finance plc   4.000   01/30/24   217,619 
 800,000     Invesco Finance plc   3.750   01/15/26   875,971 
 200,000     Invesco Finance plc   5.375   11/30/43   227,937 
 300,000     Janus Capital Group, Inc   4.875   08/01/25   331,292 
 500,000     Jefferies Group LLC   6.875   04/15/21   521,662 
 1,000,000     Jefferies Group LLC   4.850   01/15/27   1,101,185 
 600,000     Jefferies Group LLC   6.450   06/08/27   703,968 
 1,000,000     Jefferies Group LLC   4.150   01/23/30   1,085,664 
 150,000     Lazard Group LLC   3.750   02/13/25   159,266 
 200,000     Lazard Group LLC   3.625   03/01/27   209,933 
 325,000     Lazard Group LLC   4.500   09/19/28   366,501 
 425,000     Lazard Group LLC   4.375   03/11/29   475,596 
 400,000     Legg Mason, Inc   5.625   01/15/44   492,270 
 300,000     Lloyds Banking Group plc   1.326   06/15/23   301,758 
 900,000     Moody’s Corp   2.750   12/15/21   926,201 
 200,000     Moody’s Corp   2.625   01/15/23   209,386 
 1,200,000     Moody’s Corp   3.250   01/15/28   1,331,466 
 300,000     Moody’s Corp   4.250   02/01/29   356,256 
 200,000     Moody’s Corp   5.250   07/15/44   276,597 
 300,000     Moody’s Corp   4.875   12/17/48   397,146 
 750,000     Moody’s Corp   3.250   05/20/50   803,981 
 4,275,000     Morgan Stanley   2.750   05/19/22   4,444,645 
 2,850,000     Morgan Stanley   4.875   11/01/22   3,099,355 
 475,000     Morgan Stanley   3.750   02/25/23   512,887 
 3,175,000     Morgan Stanley   4.100   05/22/23   3,431,506 
 5,350,000     Morgan Stanley   3.737   04/24/24   5,767,636 
 4,092,000     Morgan Stanley   3.700   10/23/24   4,538,601 
 1,025,000     Morgan Stanley   2.720   07/22/25   1,088,361 
 500,000     Morgan Stanley   4.000   07/23/25   566,894 
 950,000     Morgan Stanley   5.000   11/24/25   1,109,609 
 575,000     Morgan Stanley   3.875   01/27/26   650,443 
 500,000     Morgan Stanley   3.125   07/27/26   551,616 
 400,000     Morgan Stanley   4.350   09/08/26   461,258 
 2,750,000     Morgan Stanley   3.625   01/20/27   3,104,338 
 1,975,000     Morgan Stanley   3.950   04/23/27   2,222,946 
 1,575,000     Morgan Stanley   3.591   07/22/28   1,771,289 
 4,850,000     Morgan Stanley   3.772   01/24/29   5,520,658 
 3,475,000     Morgan Stanley   4.431   01/23/30   4,139,346 
 5,000,000     Morgan Stanley   2.699   01/22/31   5,310,690 
 500,000     Morgan Stanley   3.622   04/01/31   571,064 
 150,000     Morgan Stanley   7.250   04/01/32   226,005 
 725,000     Morgan Stanley   3.971   07/22/38   864,223 
29

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,675,000     Morgan Stanley   4.457%  04/22/39  $3,371,323 
 275,000     Morgan Stanley   6.375   07/24/42   432,584 
 175,000     Morgan Stanley   4.300   01/27/45   220,153 
 3,200,000     Morgan Stanley   4.375   01/22/47   4,141,959 
 900,000     Morgan Stanley   5.597   03/24/51   1,361,234 
 250,000     NASDAQ, Inc   4.250   06/01/24   276,609 
 400,000     NASDAQ, Inc   3.850   06/30/26   448,371 
 500,000     NASDAQ, Inc   3.250   04/28/50   522,710 
 350,000     National Rural Utilities Cooperative Finance Corp   3.050   02/15/22   362,775 
 500,000     National Rural Utilities Cooperative Finance Corp   2.400   04/25/22   516,169 
 500,000     National Rural Utilities Cooperative Finance Corp   2.300   09/15/22   518,893 
 200,000     National Rural Utilities Cooperative Finance Corp   2.700   02/15/23   209,193 
 200,000     National Rural Utilities Cooperative Finance Corp   3.400   11/15/23   217,417 
 300,000     National Rural Utilities Cooperative Finance Corp   2.950   02/07/24   321,038 
 400,000     National Rural Utilities Cooperative Finance Corp   2.850   01/27/25   439,260 
 200,000     National Rural Utilities Cooperative Finance Corp   3.250   11/01/25   221,969 
 1,000,000     National Rural Utilities Cooperative Finance Corp   3.400   02/07/28   1,121,339 
 200,000     National Rural Utilities Cooperative Finance Corp   3.900   11/01/28   237,038 
 300,000     National Rural Utilities Cooperative Finance Corp   3.700   03/15/29   344,752 
 1,000,000     National Rural Utilities Cooperative Finance Corp   2.400   03/15/30   1,066,654 
 500,000     National Rural Utilities Cooperative Finance Corp   4.750   04/30/43   500,624 
 200,000     National Rural Utilities Cooperative Finance Corp   5.250   04/20/46   211,981 
 200,000     National Rural Utilities Cooperative Finance Corp   4.400   11/01/48   258,601 
 550,000     National Rural Utilities Cooperative Finance Corp   4.300   03/15/49   703,537 
 300,000  j  Navient Solutions LLC   0.000   10/03/22   294,961 
 1,500,000     Nomura Holdings, Inc   2.648   01/16/25   1,564,336 
 1,500,000     Nomura Holdings, Inc   3.103   01/16/30   1,564,532 
 375,000     Oesterreichische Kontrollbank AG.   2.875   09/07/21   386,273 
 500,000     Oesterreichische Kontrollbank AG.   2.375   10/01/21   512,966 
 750,000     Oesterreichische Kontrollbank AG.   2.625   01/31/22   777,330 
 1,200,000     Oesterreichische Kontrollbank AG.   1.625   09/17/22   1,234,474 
 750,000     Oesterreichische Kontrollbank AG.   2.875   03/13/23   800,690 
 1,350,000     Oesterreichische Kontrollbank AG.   3.125   11/07/23   1,471,856 
 1,500,000     Oesterreichische Kontrollbank AG.   1.500   02/12/25   1,565,590 
 475,000     ORIX Corp   2.900   07/18/22   491,399 
 500,000     ORIX Corp   4.050   01/16/24   549,320 
 500,000     ORIX Corp   3.250   12/04/24   539,357 
 200,000     ORIX Corp   3.700   07/18/27   222,400 
 500,000     Owl Rock Capital Corp   4.000   03/30/25   493,821 
 500,000     Owl Rock Capital Corp   3.750   07/22/25   488,527 
 200,000     PACCAR Financial Corp   3.150   08/09/21   205,827 
 300,000     PACCAR Financial Corp   2.850   03/01/22   311,917 
 750,000     PACCAR Financial Corp   2.650   05/10/22   781,719 
 200,000     PACCAR Financial Corp   2.000   09/26/22   206,317 
 500,000     PACCAR Financial Corp   2.650   04/06/23   527,696 
 500,000     PACCAR Financial Corp   0.800   06/08/23   501,915 
 200,000     PACCAR Financial Corp   3.400   08/09/23   216,426 
 300,000     PACCAR Financial Corp   2.150   08/15/24   315,886 
 600,000     Raymond James Financial, Inc   3.625   09/15/26   666,289 
 425,000     Raymond James Financial, Inc   4.950   07/15/46   513,926 
 1,000,000     Royal Bank of Canada   1.150   06/10/25   1,001,352 
 300,000     S&P Global, Inc   4.000   06/15/25   344,083 
 2,150,000     S&P Global, Inc   4.400   02/15/26   2,530,221 
 500,000     S&P Global, Inc   2.500   12/01/29   544,760 
30

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$200,000     S&P Global, Inc   4.500%  05/15/48  $257,853 
 500,000     S&P Global, Inc   3.250   12/01/49   549,443 
 1,600,000     Shire Acquisitions Investments Ireland DAC   2.400   09/23/21   1,631,980 
 3,125,000     Shire Acquisitions Investments Ireland DAC   2.875   09/23/23   3,309,905 
 1,400,000     Shire Acquisitions Investments Ireland DAC   3.200   09/23/26   1,552,889 
 500,000     State Street Corp   2.653   05/15/23   518,966 
 2,150,000     State Street Corp   3.100   05/15/23   2,310,785 
 300,000     State Street Corp   3.776   12/03/24   330,758 
 750,000     State Street Corp   3.300   12/16/24   835,253 
 375,000     State Street Corp   3.550   08/18/25   426,837 
 1,000,000     State Street Corp   2.354   11/01/25   1,060,025 
 500,000  g  State Street Corp   2.901   03/30/26   542,473 
 650,000     State Street Corp   2.650   05/19/26   713,155 
 300,000     State Street Corp   4.141   12/03/29   360,461 
 750,000     State Street Corp   2.400   01/24/30   806,378 
 500,000     State Street Corp   3.031   11/01/34   537,054 
 200,000     Stifel Financial Corp   3.500   12/01/20   200,989 
 100,000     Stifel Financial Corp   4.250   07/18/24   106,417 
 550,000     Synchrony Financial   2.850   07/25/22   559,417 
 500,000     Synchrony Financial   4.375   03/19/24   523,764 
 250,000     Synchrony Financial   4.250   08/15/24   262,921 
 600,000     Synchrony Financial   4.500   07/23/25   637,502 
 300,000     Synchrony Financial   3.700   08/04/26   310,513 
 900,000     Synchrony Financial   3.950   12/01/27   940,572 
 500,000     Synchrony Financial   5.150   03/19/29   563,611 
 300,000     Syngenta Finance NV   3.125   03/28/22   304,068 
 425,000     TD Ameritrade Holding Corp   2.950   04/01/22   442,174 
 300,000     TD Ameritrade Holding Corp   3.750   04/01/24   330,981 
 350,000     TD Ameritrade Holding Corp   3.625   04/01/25   390,704 
 525,000     TD Ameritrade Holding Corp   3.300   04/01/27   587,829 
 500,000     TD Ameritrade Holding Corp   2.750   10/01/29   550,532 
 1,000,000     Toronto-Dominion Bank   0.750   06/12/23   1,005,802 
 1,000,000     Toronto-Dominion Bank   1.150   06/12/25   1,012,181 
 300,000     Toyota Motor Credit Corp   1.900   04/08/21   303,436 
 500,000     Toyota Motor Credit Corp   3.400   09/15/21   517,030 
 1,000,000     Toyota Motor Credit Corp   1.800   10/07/21   1,015,920 
 1,750,000     Toyota Motor Credit Corp   2.600   01/11/22   1,804,076 
 300,000     Toyota Motor Credit Corp   2.800   07/13/22   313,005 
 500,000     Toyota Motor Credit Corp   2.150   09/08/22   516,836 
 500,000     Toyota Motor Credit Corp   2.700   01/11/23   525,250 
 500,000     Toyota Motor Credit Corp   3.450   09/20/23   542,668 
 400,000     Toyota Motor Credit Corp   3.350   01/08/24   433,443 
 1,000,000     Toyota Motor Credit Corp   2.000   10/07/24   1,040,550 
 3,000,000     Toyota Motor Credit Corp   1.800   02/13/25   3,109,593 
 1,500,000     Toyota Motor Credit Corp   3.400   04/14/25   1,675,006 
 300,000     Toyota Motor Credit Corp   3.050   01/11/28   335,544 
 400,000     Toyota Motor Credit Corp   3.650   01/08/29   469,595 
 650,000     Toyota Motor Credit Corp   2.150   02/13/30   683,491 
 225,000     Toyota Motor Credit Corp   3.375   04/01/30   258,544 
 300,000     Unilever Capital Corp   1.375   07/28/21   303,360 
 625,000     Unilever Capital Corp   3.000   03/07/22   652,109 
 625,000     Unilever Capital Corp   2.200   05/05/22   643,531 
 500,000     Unilever Capital Corp   3.125   03/22/23   534,756 
 300,000     Unilever Capital Corp   3.250   03/07/24   326,514 
31

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,100,000     Unilever Capital Corp   2.600%  05/05/24  $1,177,982 
 500,000     Unilever Capital Corp   3.375   03/22/25   561,924 
 450,000     Unilever Capital Corp   3.100   07/30/25   500,189 
 225,000     Unilever Capital Corp   2.000   07/28/26   239,316 
 800,000     Unilever Capital Corp   2.900   05/05/27   888,145 
 1,150,000     Unilever Capital Corp   3.500   03/22/28   1,327,197 
 1,000,000     Unilever Capital Corp   2.125   09/06/29   1,055,311 
 430,000     Unilever Capital Corp   5.900   11/15/32   621,487 
 450,000     Wells Fargo & Co   2.550   12/07/20   454,167 
 1,000,000     Wells Fargo & Co   2.500   03/04/21   1,013,972 
 750,000     Wells Fargo & Co   2.100   07/26/21   763,357 
 1,900,000     Wells Fargo & Co   2.625   07/22/22   1,979,517 
 1,375,000     Wells Fargo & Co   3.450   02/13/23   1,460,781 
 800,000     Wells Fargo & Co   4.125   08/15/23   871,085 
 334,000     Wells Fargo & Co   4.480   01/16/24   370,674 
 1,350,000     Wells Fargo & Co   3.750   01/24/24   1,475,075 
 2,700,000     Wells Fargo & Co   3.300   09/09/24   2,951,613 
 4,100,000     Wells Fargo & Co   3.000   02/19/25   4,416,325 
 1,125,000     Wells Fargo & Co   3.550   09/29/25   1,256,326 
 2,000,000     Wells Fargo & Co   2.406   10/30/25   2,081,996 
 3,350,000     Wells Fargo & Co   3.000   04/22/26   3,658,207 
 1,250,000     Wells Fargo & Co   4.100   06/03/26   1,408,939 
 2,575,000     Wells Fargo & Co   3.000   10/23/26   2,808,417 
 1,500,000     Wells Fargo & Co   3.196   06/17/27   1,626,445 
 1,200,000     Wells Fargo & Co   4.300   07/22/27   1,376,426 
 3,625,000     Wells Fargo & Co   3.584   05/22/28   4,023,112 
 2,000,000     Wells Fargo & Co   2.393   06/02/28   2,066,055 
 6,175,000     Wells Fargo & Co   4.150   01/24/29   7,245,027 
 3,950,000     Wells Fargo & Co   2.879   10/30/30   4,221,303 
 264,000     Wells Fargo & Co   5.375   02/07/35   357,909 
 1,050,000     Wells Fargo & Co   5.375   11/02/43   1,425,650 
 1,468,000     Wells Fargo & Co   5.606   01/15/44   2,034,126 
 475,000     Wells Fargo & Co   4.650   11/04/44   588,354 
 1,500,000     Wells Fargo & Co   3.900   05/01/45   1,769,186 
 950,000     Wells Fargo & Co   4.900   11/17/45   1,219,101 
 3,250,000     Wells Fargo & Co   4.400   06/14/46   3,927,797 
 1,975,000     Wells Fargo & Co   4.750   12/07/46   2,524,629 
       TOTAL DIVERSIFIED FINANCIALS           483,240,129 
                     
ENERGY - 2.3%              
 925,000     Baker Hughes a GE Co LLC   2.773   12/15/22   965,263 
 875,000     Baker Hughes a GE Co LLC   3.337   12/15/27   932,114 
 1,000,000     Baker Hughes a GE Co LLC   3.138   11/07/29   1,045,451 
 500,000     Baker Hughes a GE Co LLC   4.486   05/01/30   575,481 
 800,000     Baker Hughes a GE Co LLC   5.125   09/15/40   963,487 
 875,000     Baker Hughes a GE Co LLC   4.080   12/15/47   909,747 
 200,000     Boardwalk Pipelines LP   3.375   02/01/23   200,656 
 475,000     Boardwalk Pipelines LP   5.950   06/01/26   534,288 
 450,000     Boardwalk Pipelines LP   4.450   07/15/27   472,647 
 500,000     Boardwalk Pipelines LP   4.800   05/03/29   532,328 
 150,000     BP Capital Markets America, Inc   4.742   03/11/21   154,551 
 1,525,000     BP Capital Markets America, Inc   3.245   05/06/22   1,598,866 
 175,000     BP Capital Markets America, Inc   2.520   09/19/22   181,717 
 1,000,000     BP Capital Markets America, Inc   2.937   04/06/23   1,058,830 
32

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$550,000     BP Capital Markets America, Inc   2.750%  05/10/23  $581,151 
 800,000     BP Capital Markets America, Inc   3.790   02/06/24   875,675 
 2,025,000     BP Capital Markets America, Inc   3.224   04/14/24   2,182,276 
 1,000,000     BP Capital Markets America, Inc   3.194   04/06/25   1,087,291 
 700,000     BP Capital Markets America, Inc   3.796   09/21/25   791,705 
 1,800,000     BP Capital Markets America, Inc   3.410   02/11/26   1,990,758 
 150,000     BP Capital Markets America, Inc   3.119   05/04/26   163,565 
 200,000     BP Capital Markets America, Inc   3.017   01/16/27   216,525 
 500,000     BP Capital Markets America, Inc   3.588   04/14/27   552,936 
 750,000     BP Capital Markets America, Inc   3.937   09/21/28   857,867 
 1,300,000     BP Capital Markets America, Inc   4.234   11/06/28   1,510,224 
 2,000,000     BP Capital Markets America, Inc   3.000   02/24/50   1,969,249 
 550,000     BP Capital Markets plc   3.062   03/17/22   572,290 
 1,225,000     BP Capital Markets plc   2.500   11/06/22   1,275,160 
 700,000     BP Capital Markets plc   3.994   09/26/23   768,700 
 925,000     BP Capital Markets plc   3.814   02/10/24   1,017,594 
 675,000     BP Capital Markets plc   3.535   11/04/24   744,539 
 675,000     BP Capital Markets plc   3.506   03/17/25   747,382 
 925,000     BP Capital Markets plc   3.279   09/19/27   1,010,208 
 300,000     BP Capital Markets plc   3.723   11/28/28   339,936 
 575,000     Burlington Resources Finance Co   7.200   08/15/31   822,786 
 200,000     Burlington Resources Finance Co   7.400   12/01/31   295,060 
 600,000     Canadian Natural Resources Ltd   2.950   01/15/23   619,056 
 600,000     Canadian Natural Resources Ltd   3.800   04/15/24   637,045 
 700,000     Canadian Natural Resources Ltd   3.900   02/01/25   749,609 
 750,000     Canadian Natural Resources Ltd   2.050   07/15/25   751,497 
 1,125,000     Canadian Natural Resources Ltd   3.850   06/01/27   1,202,125 
 750,000     Canadian Natural Resources Ltd   2.950   07/15/30   744,160 
 1,625,000     Canadian Natural Resources Ltd   6.250   03/15/38   1,937,597 
 800,000     Canadian Natural Resources Ltd   4.950   06/01/47   875,721 
 400,000     Chevron Corp   2.411   03/03/22   411,814 
 300,000     Chevron Corp   2.498   03/03/22   310,420 
 1,050,000     Chevron Corp   2.355   12/05/22   1,092,119 
 750,000     Chevron Corp   1.141   05/11/23   762,918 
 500,000     Chevron Corp   2.566   05/16/23   527,321 
 400,000     Chevron Corp   3.191   06/24/23   428,442 
 425,000     Chevron Corp   2.895   03/03/24   457,376 
 750,000     Chevron Corp   1.554   05/11/25   770,416 
 400,000     Chevron Corp   3.326   11/17/25   447,687 
 2,475,000     Chevron Corp   2.954   05/16/26   2,741,213 
 225,000     Chevron Corp   1.995   05/11/27   235,587 
 600,000     Chevron Corp   2.236   05/11/30   628,070 
 375,000     Chevron Corp   2.978   05/11/40   401,024 
 1,000,000     Chevron Corp   3.078   05/11/50   1,061,046 
 500,000     Cimarex Energy Co   4.375   06/01/24   527,437 
 525,000     Cimarex Energy Co   3.900   05/15/27   528,622 
 300,000     Cimarex Energy Co   4.375   03/15/29   308,281 
 775,000     Columbia Pipeline Group, Inc   4.500   06/01/25   880,344 
 300,000     Columbia Pipeline Group, Inc   5.800   06/01/45   365,569 
 825,000     Concho Resources, Inc   3.750   10/01/27   879,660 
 950,000     Concho Resources, Inc   4.300   08/15/28   1,043,442 
 400,000     Concho Resources, Inc   4.875   10/01/47   449,938 
 700,000     Concho Resources, Inc   4.850   08/15/48   789,838 
 2,800,000     ConocoPhillips Co   4.950   03/15/26   3,357,997 
33

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$77,000     ConocoPhillips Co   4.150%  11/15/34  $85,406 
 250,000     ConocoPhillips Co   5.900   05/15/38   340,405 
 1,585,000     ConocoPhillips Co   6.500   02/01/39   2,307,836 
 300,000     ConocoPhillips Co   4.300   11/15/44   365,896 
 1,650,000     ConocoPhillips Co   5.950   03/15/46   2,404,440 
 925,000     ConocoPhillips Holding Co   6.950   04/15/29   1,288,873 
 885,000     Devon Energy Corp   5.600   07/15/41   863,718 
 700,000     Devon Energy Corp   4.750   05/15/42   607,724 
 1,100,000     Devon Energy Corp   5.000   06/15/45   985,218 
 600,000     Diamondback Energy, Inc   2.875   12/01/24   600,991 
 750,000     Diamondback Energy, Inc   4.750   05/31/25   802,093 
 425,000     Diamondback Energy, Inc   3.250   12/01/26   427,312 
 1,000,000     Diamondback Energy, Inc   3.500   12/01/29   966,068 
 725,000     Ecopetrol S.A.   5.875   09/18/23   775,750 
 1,000,000     Ecopetrol S.A.   4.125   01/16/25   1,002,510 
 975,000     Ecopetrol S.A.   5.375   06/26/26   1,021,195 
 1,550,000     Ecopetrol S.A.   6.875   04/29/30   1,784,050 
 200,000     Ecopetrol S.A.   7.375   09/18/43   240,940 
 1,725,000     Ecopetrol S.A.   5.875   05/28/45   1,805,299 
 300,000     El Paso Corp   7.750   01/15/32   419,148 
 300,000     Enable Midstream Partners LP   3.900   05/15/24   293,859 
 200,000     Enable Midstream Partners LP   4.400   03/15/27   184,272 
 1,250,000     Enable Midstream Partners LP   4.950   05/15/28   1,159,876 
 500,000     Enable Midstream Partners LP   4.150   09/15/29   438,415 
 100,000     Enable Midstream Partners LP   5.000   05/15/44   80,027 
 1,200,000     Enbridge Energy Partners LP   5.875   10/15/25   1,432,249 
 300,000     Enbridge Energy Partners LP   5.500   09/15/40   362,422 
 200,000     Enbridge Energy Partners LP   7.375   10/15/45   285,892 
 800,000     Enbridge, Inc   2.900   07/15/22   829,963 
 300,000     Enbridge, Inc   4.000   10/01/23   325,126 
 250,000     Enbridge, Inc   2.500   01/15/25   259,613 
 100,000     Enbridge, Inc   4.250   12/01/26   113,805 
 100,000     Enbridge, Inc   3.700   07/15/27   110,320 
 500,000     Enbridge, Inc   3.125   11/15/29   523,955 
 300,000     Enbridge, Inc   4.500   06/10/44   336,355 
 925,000     Enbridge, Inc   5.500   12/01/46   1,173,508 
 1,000,000     Enbridge, Inc   4.000   11/15/49   1,052,472 
 500,000     Enbridge, Inc   6.250   03/01/78   492,500 
 2,400,000     EnCana Corp   3.900   11/15/21   2,394,123 
 2,350,000     EnCana Corp   6.500   08/15/34   2,098,970 
 500,000     Energy Transfer Operating LP   4.650   06/01/21   510,691 
 450,000     Energy Transfer Operating LP   5.200   02/01/22   470,895 
 525,000     Energy Transfer Operating LP   3.600   02/01/23   543,127 
 200,000     Energy Transfer Operating LP   4.200   09/15/23   212,500 
 500,000     Energy Transfer Operating LP   4.900   02/01/24   540,334 
 2,775,000     Energy Transfer Operating LP   4.500   04/15/24   3,008,400 
 825,000     Energy Transfer Operating LP   4.050   03/15/25   877,983 
 400,000     Energy Transfer Operating LP   2.900   05/15/25   409,589 
 325,000     Energy Transfer Operating LP   4.750   01/15/26   354,940 
 250,000     Energy Transfer Operating LP   4.200   04/15/27   261,562 
 350,000     Energy Transfer Operating LP   4.950   06/15/28   375,794 
 2,600,000     Energy Transfer Operating LP   5.250   04/15/29   2,837,310 
 625,000     Energy Transfer Operating LP   3.750   05/15/30   617,590 
 400,000     Energy Transfer Operating LP   4.900   03/15/35   401,179 
34

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000     Energy Transfer Operating LP   5.800%  06/15/38  $509,416 
 140,000     Energy Transfer Operating LP   7.500   07/01/38   164,587 
 650,000     Energy Transfer Operating LP   6.500   02/01/42   701,071 
 200,000     Energy Transfer Operating LP   5.150   02/01/43   187,413 
 200,000     Energy Transfer Operating LP   5.950   10/01/43   204,231 
 550,000     Energy Transfer Operating LP   5.150   03/15/45   521,568 
 625,000     Energy Transfer Operating LP   6.125   12/15/45   649,894 
 500,000     Energy Transfer Operating LP   5.300   04/15/47   482,547 
 1,025,000     Energy Transfer Operating LP   6.000   06/15/48   1,063,247 
 2,750,000     Energy Transfer Operating LP   6.250   04/15/49   2,914,362 
 2,175,000     Energy Transfer Operating LP   5.000   05/15/50   2,054,973 
 600,000     Enterprise Products Operating LLC   5.200   09/01/20   604,542 
 900,000     Enterprise Products Operating LLC   2.800   02/15/21   912,445 
 100,000     Enterprise Products Operating LLC   2.850   04/15/21   101,581 
 300,000     Enterprise Products Operating LLC   3.500   02/01/22   312,744 
 400,000     Enterprise Products Operating LLC   4.050   02/15/22   422,009 
 250,000     Enterprise Products Operating LLC   3.350   03/15/23   264,926 
 950,000     Enterprise Products Operating LLC   3.900   02/15/24   1,039,574 
 225,000     Enterprise Products Operating LLC   3.750   02/15/25   248,888 
 450,000     Enterprise Products Operating LLC   3.700   02/15/26   505,711 
 3,065,000     Enterprise Products Operating LLC   3.950   02/15/27   3,494,170 
 725,000     Enterprise Products Operating LLC   4.150   10/16/28   828,305 
 450,000     Enterprise Products Operating LLC   3.125   07/31/29   481,574 
 480,000     Enterprise Products Operating LLC   6.125   10/15/39   610,068 
 175,000     Enterprise Products Operating LLC   5.950   02/01/41   223,795 
 525,000     Enterprise Products Operating LLC   4.850   08/15/42   603,446 
 325,000     Enterprise Products Operating LLC   4.450   02/15/43   359,076 
 1,775,000     Enterprise Products Operating LLC   4.850   03/15/44   2,053,518 
 775,000     Enterprise Products Operating LLC   5.100   02/15/45   914,727 
 500,000     Enterprise Products Operating LLC   4.900   05/15/46   578,941 
 675,000     Enterprise Products Operating LLC   4.250   02/15/48   734,213 
 2,475,000     Enterprise Products Operating LLC   4.800   02/01/49   2,930,018 
 950,000     Enterprise Products Operating LLC   4.200   01/31/50   1,051,128 
 775,000     Enterprise Products Operating LLC   3.700   01/31/51   805,730 
 200,000     Enterprise Products Operating LLC   4.950   10/15/54   222,937 
 625,000     Enterprise Products Operating LLC   3.950   01/31/60   646,208 
 200,000     Enterprise Products Operating LLC   4.875   08/16/77   173,950 
 700,000     Enterprise Products Operating LLC   5.250   08/16/77   654,500 
 400,000     Enterprise Products Operating LLC   5.375   02/15/78   358,000 
 440,000     EOG Resources, Inc   4.100   02/01/21   449,333 
 1,025,000     EOG Resources, Inc   2.625   03/15/23   1,073,890 
 475,000     EOG Resources, Inc   4.150   01/15/26   548,660 
 500,000     EOG Resources, Inc   4.375   04/15/30   595,190 
 200,000     EOG Resources, Inc   3.900   04/01/35   233,201 
 200,000     EOG Resources, Inc   5.100   01/15/36   230,497 
 500,000     EOG Resources, Inc   4.950   04/15/50   650,440 
 300,000     Equinor ASA   2.900   11/08/20   302,408 
 500,000     Equinor ASA   2.750   11/10/21   513,055 
 925,000     Equinor ASA   2.450   01/17/23   967,494 
 475,000     Equinor ASA   2.650   01/15/24   505,509 
 450,000     Equinor ASA   3.700   03/01/24   498,939 
 500,000     Equinor ASA   3.250   11/10/24   554,891 
 500,000     Equinor ASA   2.875   04/06/25   539,022 
 400,000     Equinor ASA   1.750   01/22/26   409,718 
35

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000     Equinor ASA   3.000%  04/06/27  $550,710 
 1,500,000     Equinor ASA   3.625   09/10/28   1,724,776 
 300,000     Equinor ASA   3.125   04/06/30   330,824 
 1,175,000     Equinor ASA   2.375   05/22/30   1,221,271 
 300,000     Equinor ASA   3.625   04/06/40   336,553 
 200,000     Equinor ASA   5.100   08/17/40   270,215 
 400,000     Equinor ASA   4.250   11/23/41   474,848 
 300,000     Equinor ASA   3.950   05/15/43   348,178 
 1,300,000     Equinor ASA   4.800   11/08/43   1,703,285 
 750,000     Equinor ASA   3.250   11/18/49   796,764 
 300,000     Equinor ASA   3.700   04/06/50   344,861 
 675,000     Exxon Mobil Corp   2.397   03/06/22   695,282 
 350,000     Exxon Mobil Corp   1.902   08/16/22   361,191 
 1,350,000     Exxon Mobil Corp   2.726   03/01/23   1,420,234 
 750,000     Exxon Mobil Corp   1.571   04/15/23   769,090 
 175,000     Exxon Mobil Corp   3.176   03/15/24   189,152 
 1,000,000     Exxon Mobil Corp   2.019   08/16/24   1,044,220 
 850,000     Exxon Mobil Corp   2.709   03/06/25   912,606 
 1,500,000     Exxon Mobil Corp   2.992   03/19/25   1,631,764 
 4,177,000     Exxon Mobil Corp   3.043   03/01/26   4,590,364 
 1,000,000     Exxon Mobil Corp   2.275   08/16/26   1,066,113 
 750,000     Exxon Mobil Corp   3.294   03/19/27   841,521 
 1,000,000     Exxon Mobil Corp   2.440   08/16/29   1,060,317 
 750,000     Exxon Mobil Corp   3.482   03/19/30   854,039 
 750,000     Exxon Mobil Corp   2.610   10/15/30   799,568 
 1,000,000     Exxon Mobil Corp   2.995   08/16/39   1,057,680 
 1,750,000     Exxon Mobil Corp   4.227   03/19/40   2,114,948 
 500,000     Exxon Mobil Corp   3.567   03/06/45   559,579 
 1,225,000     Exxon Mobil Corp   4.114   03/01/46   1,484,550 
 1,400,000     Exxon Mobil Corp   3.095   08/16/49   1,460,227 
 2,100,000     Exxon Mobil Corp   4.327   03/19/50   2,630,910 
 1,500,000     Exxon Mobil Corp   3.452   04/15/51   1,664,499 
 200,000     Gulf South Pipeline Co LP   4.000   06/15/22   204,481 
 7,000     Halliburton Co   3.500   08/01/23   7,331 
 187,000     Halliburton Co   3.800   11/15/25   202,545 
 1,000,000     Halliburton Co   2.920   03/01/30   948,403 
 500,000     Halliburton Co   4.850   11/15/35   525,868 
 125,000     Halliburton Co   6.700   09/15/38   148,189 
 125,000     Halliburton Co   7.450   09/15/39   161,209 
 750,000     Halliburton Co   4.750   08/01/43   740,460 
 2,825,000     Halliburton Co   5.000   11/15/45   2,918,575 
 200,000     Helmerich & Payne, Inc   4.650   03/15/25   213,191 
 200,000     Hess Corp   3.500   07/15/24   201,492 
 2,100,000     Hess Corp   4.300   04/01/27   2,173,400 
 200,000     Hess Corp   6.000   01/15/40   214,211 
 1,190,000     Hess Corp   5.600   02/15/41   1,248,328 
 900,000     Hess Corp   5.800   04/01/47   976,494 
 200,000     HollyFrontier Corp   5.875   04/01/26   221,080 
 500,000     Husky Energy, Inc   4.000   04/15/24   512,842 
 825,000     Husky Energy, Inc   4.400   04/15/29   824,496 
 130,000     Husky Energy, Inc   6.800   09/15/37   147,588 
 525,000     Kinder Morgan Energy Partners LP   3.950   09/01/22   553,405 
 300,000     Kinder Morgan Energy Partners LP   4.150   02/01/24   325,307 
 500,000     Kinder Morgan Energy Partners LP   4.250   09/01/24   548,223 
36

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     Kinder Morgan Energy Partners LP   6.950%  01/15/38  $397,167 
 535,000     Kinder Morgan Energy Partners LP   6.500   09/01/39   673,379 
 400,000     Kinder Morgan Energy Partners LP   4.700   11/01/42   426,703 
 500,000     Kinder Morgan Energy Partners LP   5.000   03/01/43   549,210 
 400,000     Kinder Morgan Energy Partners LP   5.500   03/01/44   468,960 
 200,000     Kinder Morgan Energy Partners LP   5.400   09/01/44   235,261 
 2,525,000     Kinder Morgan, Inc   4.300   06/01/25   2,814,902 
 2,825,000     Kinder Morgan, Inc   4.300   03/01/28   3,201,019 
 3,300,000     Kinder Morgan, Inc   5.300   12/01/34   3,837,901 
 1,600,000     Kinder Morgan, Inc   5.550   06/01/45   1,942,192 
 2,325,000     Kinder Morgan, Inc   5.200   03/01/48   2,822,693 
 900,000     Magellan Midstream Partners LP   5.000   03/01/26   1,035,923 
 475,000     Magellan Midstream Partners LP   3.250   06/01/30   503,147 
 225,000     Magellan Midstream Partners LP   4.250   09/15/46   235,089 
 425,000     Magellan Midstream Partners LP   4.200   10/03/47   439,563 
 525,000     Magellan Midstream Partners LP   4.850   02/01/49   597,756 
 500,000     Magellan Midstream Partners LP   3.950   03/01/50   505,709 
 1,150,000     Marathon Oil Corp   2.800   11/01/22   1,151,207 
 300,000     Marathon Oil Corp   3.850   06/01/25   302,413 
 1,475,000     Marathon Oil Corp   4.400   07/15/27   1,447,552 
 505,000     Marathon Oil Corp   6.600   10/01/37   501,349 
 600,000     Marathon Oil Corp   5.200   06/01/45   559,153 
 250,000     Marathon Petroleum Corp   3.400   12/15/20   252,345 
 250,000     Marathon Petroleum Corp   5.125   03/01/21   257,040 
 500,000     Marathon Petroleum Corp   4.500   05/01/23   538,774 
 2,175,000     Marathon Petroleum Corp   3.625   09/15/24   2,319,098 
 500,000     Marathon Petroleum Corp   4.700   05/01/25   559,729 
 200,000     Marathon Petroleum Corp   3.800   04/01/28   211,982 
 800,000     Marathon Petroleum Corp   6.500   03/01/41   992,620 
 450,000     Marathon Petroleum Corp   4.750   09/15/44   469,829 
 250,000     Marathon Petroleum Corp   5.850   12/15/45   263,462 
 600,000     Marathon Petroleum Corp   4.500   04/01/48   615,224 
 200,000     Marathon Petroleum Corp   5.000   09/15/54   204,534 
 200,000     MPLX LP   3.500   12/01/22   208,381 
 175,000     MPLX LP   3.375   03/15/23   182,883 
 1,000,000     MPLX LP   6.375   05/01/24   1,032,523 
 1,000,000     MPLX LP   4.875   12/01/24   1,110,665 
 2,500,000     MPLX LP   4.875   06/01/25   2,789,314 
 100,000     MPLX LP   4.125   03/01/27   106,682 
 150,000     MPLX LP   4.250   12/01/27   162,596 
 475,000     MPLX LP   4.000   03/15/28   500,457 
 1,200,000     MPLX LP   4.800   02/15/29   1,334,701 
 975,000     MPLX LP   4.500   04/15/38   974,666 
 375,000     MPLX LP   5.200   03/01/47   402,554 
 700,000     MPLX LP   5.200   12/01/47   736,004 
 825,000     MPLX LP   4.700   04/15/48   845,795 
 850,000     MPLX LP   5.500   02/15/49   964,439 
 1,100,000     MPLX LP   4.900   04/15/58   1,104,546 
 171,000     National Oilwell Varco, Inc   2.600   12/01/22   172,100 
 500,000     National Oilwell Varco, Inc   3.600   12/01/29   489,154 
 800,000     National Oilwell Varco, Inc   3.950   12/01/42   668,351 
 935,000     Nexen, Inc   6.400   05/15/37   1,315,629 
 750,000     Noble Energy, Inc   3.900   11/15/24   755,542 
 1,000,000     Noble Energy, Inc   3.250   10/15/29   903,013 
37

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$875,000     Noble Energy, Inc   6.000%  03/01/41  $839,693 
 450,000     Noble Energy, Inc   5.250   11/15/43   412,548 
 175,000     Noble Energy, Inc   5.050   11/15/44   159,022 
 200,000     Noble Energy, Inc   4.950   08/15/47   178,021 
 1,000,000     Noble Energy, Inc   4.200   10/15/49   824,640 
 100,000     ONE Gas, Inc   2.000   05/15/30   101,858 
 175,000     ONEOK, Inc   2.750   09/01/24   176,160 
 100,000     ONEOK, Inc   5.850   01/15/26   114,191 
 1,300,000     ONEOK, Inc   4.000   07/13/27   1,319,278 
 725,000     ONEOK, Inc   4.550   07/15/28   759,990 
 325,000     ONEOK, Inc   4.350   03/15/29   341,836 
 500,000     ONEOK, Inc   3.400   09/01/29   486,238 
 500,000     ONEOK, Inc   3.100   03/15/30   478,265 
 175,000     ONEOK, Inc   6.350   01/15/31   204,810 
 675,000     ONEOK, Inc   4.950   07/13/47   649,915 
 1,350,000     ONEOK, Inc   5.200   07/15/48   1,344,464 
 1,000,000     ONEOK, Inc   4.450   09/01/49   927,502 
 500,000     ONEOK, Inc   4.500   03/15/50   465,276 
 300,000     ONEOK, Inc   7.150   01/15/51   364,318 
 75,000     Petroleos Mexicanos   1.700   12/20/22   75,834 
 75,000     Petroleos Mexicanos   2.000   12/20/22   76,176 
 925,000     Phillips 66   4.300   04/01/22   981,458 
 500,000     Phillips 66   3.700   04/06/23   534,496 
 1,000,000     Phillips 66   3.850   04/09/25   1,108,413 
 1,000,000     Phillips 66   3.900   03/15/28   1,129,511 
 1,000,000     Phillips 66   2.150   12/15/30   967,763 
 738,000     Phillips 66   4.650   11/15/34   872,825 
 125,000     Phillips 66   5.875   05/01/42   169,019 
 2,375,000     Phillips 66   4.875   11/15/44   2,939,292 
 500,000     Phillips 66 Partners LP   2.450   12/15/24   514,642 
 100,000     Phillips 66 Partners LP   3.550   10/01/26   108,372 
 675,000     Phillips 66 Partners LP   3.750   03/01/28   720,356 
 500,000     Phillips 66 Partners LP   3.150   12/15/29   511,791 
 425,000     Phillips 66 Partners LP   4.680   02/15/45   456,489 
 350,000     Phillips 66 Partners LP   4.900   10/01/46   378,946 
 200,000     Pioneer Natural Resources Co   4.450   01/15/26   231,432 
 700,000     Plains All American Pipeline LP   5.000   02/01/21   706,408 
 200,000     Plains All American Pipeline LP   2.850   01/31/23   202,416 
 400,000     Plains All American Pipeline LP   3.850   10/15/23   415,588 
 575,000     Plains All American Pipeline LP   3.600   11/01/24   587,283 
 1,025,000     Plains All American Pipeline LP   4.650   10/15/25   1,094,595 
 2,075,000     Plains All American Pipeline LP   4.500   12/15/26   2,197,815 
 1,450,000     Plains All American Pipeline LP   3.550   12/15/29   1,409,746 
 1,000,000     Plains All American Pipeline LP   3.800   09/15/30   984,734 
 100,000     Plains All American Pipeline LP   6.650   01/15/37   108,529 
 250,000     Plains All American Pipeline LP   5.150   06/01/42   241,959 
 300,000     Plains All American Pipeline LP   4.700   06/15/44   270,682 
 300,000     Plains All American Pipeline LP   4.900   02/15/45   277,404 
 375,000     Regency Energy Partners LP   5.875   03/01/22   395,874 
 175,000     Sabine Pass Liquefaction LLC   6.250   03/15/22   186,498 
 675,000     Sabine Pass Liquefaction LLC   5.625   04/15/23   738,226 
 690,000     Sabine Pass Liquefaction LLC   5.750   05/15/24   777,043 
 1,775,000     Sabine Pass Liquefaction LLC   5.625   03/01/25   2,028,699 
 275,000     Sabine Pass Liquefaction LLC   5.875   06/30/26   323,125 
38

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,675,000     Sabine Pass Liquefaction LLC   5.000%  03/15/27  $2,992,576 
 550,000     Sabine Pass Liquefaction LLC   4.200   03/15/28   589,859 
 1,000,000  g  Sabine Pass Liquefaction LLC   4.500   05/15/30   1,104,178 
 1,000,000     Schlumberger Investment S.A.   3.650   12/01/23   1,075,229 
 1,000,000     Schlumberger Investment S.A.   2.650   06/26/30   1,024,792 
 950,000     Shell International Finance BV   1.750   09/12/21   963,560 
 575,000     Shell International Finance BV   2.375   08/21/22   599,930 
 500,000     Shell International Finance BV   2.250   01/06/23   519,180 
 350,000     Shell International Finance BV   3.400   08/12/23   377,026 
 500,000     Shell International Finance BV   2.375   04/06/25   530,756 
 5,075,000     Shell International Finance BV   3.250   05/11/25   5,616,878 
 2,075,000     Shell International Finance BV   2.875   05/10/26   2,272,325 
 925,000     Shell International Finance BV   2.500   09/12/26   994,948 
 1,225,000     Shell International Finance BV   3.875   11/13/28   1,424,150 
 1,500,000     Shell International Finance BV   2.375   11/07/29   1,574,181 
 500,000     Shell International Finance BV   2.750   04/06/30   541,975 
 500,000     Shell International Finance BV   4.125   05/11/35   609,748 
 350,000     Shell International Finance BV   6.375   12/15/38   524,610 
 100,000     Shell International Finance BV   5.500   03/25/40   141,455 
 1,200,000     Shell International Finance BV   4.550   08/12/43   1,507,309 
 2,025,000     Shell International Finance BV   4.375   05/11/45   2,509,321 
 650,000     Shell International Finance BV   4.000   05/10/46   767,331 
 3,180,000     Shell International Finance BV   3.750   09/12/46   3,621,844 
 1,500,000     Shell International Finance BV   3.125   11/07/49   1,576,357 
 500,000     Shell International Finance BV   3.250   04/06/50   536,210 
 200,000     Spectra Energy Partners LP   4.750   03/15/24   223,517 
 400,000     Spectra Energy Partners LP   3.500   03/15/25   437,594 
 1,100,000     Spectra Energy Partners LP   3.375   10/15/26   1,183,593 
 200,000     Spectra Energy Partners LP   5.950   09/25/43   249,970 
 600,000     Spectra Energy Partners LP   4.500   03/15/45   678,566 
 500,000     Suncor Energy, Inc   2.800   05/15/23   522,212 
 1,775,000     Suncor Energy, Inc   3.600   12/01/24   1,916,297 
 500,000     Suncor Energy, Inc   3.100   05/15/25   534,043 
 250,000     Suncor Energy, Inc   6.800   05/15/38   323,659 
 1,625,000     Suncor Energy, Inc   6.500   06/15/38   2,059,341 
 1,550,000     Suncor Energy, Inc   4.000   11/15/47   1,621,255 
 200,000     Sunoco Logistics Partners Operations LP   4.400   04/01/21   203,982 
 1,181,000     Sunoco Logistics Partners Operations LP   3.450   01/15/23   1,221,024 
 300,000     Sunoco Logistics Partners Operations LP   4.250   04/01/24   321,111 
 200,000     Sunoco Logistics Partners Operations LP   5.950   12/01/25   228,046 
 400,000     Sunoco Logistics Partners Operations LP   3.900   07/15/26   420,753 
 100,000     Sunoco Logistics Partners Operations LP   6.100   02/15/42   104,507 
 300,000     Sunoco Logistics Partners Operations LP   5.300   04/01/44   289,360 
 200,000     Sunoco Logistics Partners Operations LP   5.350   05/15/45   193,252 
 1,225,000     Sunoco Logistics Partners Operations LP   5.400   10/01/47   1,205,017 
 100,000     TechnipFMC plc   3.450   10/01/22   101,713 
 300,000     Total Capital Canada Ltd   2.750   07/15/23   320,956 
 300,000     Total Capital International S.A.   2.750   06/19/21   306,837 
 500,000     Total Capital International S.A.   2.218   07/12/21   508,311 
 1,150,000     Total Capital International S.A.   2.875   02/17/22   1,193,698 
 1,675,000     Total Capital International S.A.   2.700   01/25/23   1,766,036 
 750,000     Total Capital International S.A.   3.700   01/15/24   828,881 
 450,000     Total Capital International S.A.   3.750   04/10/24   497,362 
 500,000     Total Capital International S.A.   2.434   01/10/25   532,332 
39

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$900,000     Total Capital International S.A.   3.455%  02/19/29  $1,023,204 
 1,300,000     Total Capital International S.A.   2.829   01/10/30   1,413,621 
 775,000     Total Capital International S.A.   2.986   06/29/41   789,841 
 500,000     Total Capital International S.A.   3.461   07/12/49   539,735 
 1,500,000     Total Capital International S.A.   3.127   05/29/50   1,531,124 
 1,000,000     Total Capital International S.A.   3.386   06/29/60   1,029,208 
 100,000     Total Capital S.A.   4.125   01/28/21   102,150 
 1,125,000     Total Capital S.A.   3.883   10/11/28   1,306,916 
 600,000     TransCanada PipeLines Ltd   3.800   10/01/20   604,760 
 325,000     TransCanada PipeLines Ltd   2.500   08/01/22   335,488 
 1,225,000     TransCanada PipeLines Ltd   4.875   01/15/26   1,445,570 
 1,000,000     TransCanada PipeLines Ltd   4.100   04/15/30   1,138,581 
 1,925,000     TransCanada PipeLines Ltd   4.625   03/01/34   2,211,982 
 100,000     TransCanada PipeLines Ltd   6.200   10/15/37   133,604 
 500,000     TransCanada PipeLines Ltd   4.750   05/15/38   587,544 
 200,000     TransCanada PipeLines Ltd   7.625   01/15/39   309,567 
 125,000     TransCanada PipeLines Ltd   6.100   06/01/40   163,660 
 1,200,000     TransCanada PipeLines Ltd   5.000   10/16/43   1,403,254 
 750,000     TransCanada PipeLines Ltd   4.875   05/15/48   926,736 
 1,425,000     TransCanada PipeLines Ltd   5.100   03/15/49   1,817,203 
 700,000     Transcontinental Gas Pipe Line Co LLC   7.850   02/01/26   911,158 
 1,200,000     Transcontinental Gas Pipe Line Co LLC   4.000   03/15/28   1,343,497 
 500,000  g  Transcontinental Gas Pipe Line Co LLC   3.250   05/15/30   533,956 
 850,000     Transcontinental Gas Pipe Line Co LLC   4.600   03/15/48   966,457 
 500,000  g  Transcontinental Gas Pipe Line Co LLC   3.950   05/15/50   535,096 
 5,525,000     Vale Overseas Ltd   6.250   08/10/26   6,498,781 
 150,000     Vale Overseas Ltd   8.250   01/17/34   210,187 
 1,164,000     Vale Overseas Ltd   6.875   11/21/36   1,520,766 
 500,000     Valero Energy Corp   2.700   04/15/23   518,763 
 825,000     Valero Energy Corp   3.650   03/15/25   899,460 
 500,000     Valero Energy Corp   2.850   04/15/25   527,368 
 675,000     Valero Energy Corp   3.400   09/15/26   738,794 
 500,000     Valero Energy Corp   4.350   06/01/28   565,877 
 2,075,000     Valero Energy Corp   4.000   04/01/29   2,308,753 
 455,000     Valero Energy Corp   7.500   04/15/32   626,140 
 850,000     Valero Energy Corp   6.625   06/15/37   1,124,682 
 300,000     Valero Energy Corp   4.900   03/15/45   353,032 
 200,000     Valero Energy Partners LP   4.375   12/15/26   227,038 
 300,000     Valero Energy Partners LP   4.500   03/15/28   344,228 
 600,000     Williams Partners LP   4.000   11/15/21   619,626 
 1,000,000     Williams Partners LP   3.600   03/15/22   1,039,241 
 2,375,000     Williams Partners LP   3.350   08/15/22   2,468,666 
 300,000     Williams Partners LP   4.500   11/15/23   328,556 
 150,000     Williams Partners LP   3.900   01/15/25   164,130 
 925,000     Williams Partners LP   4.000   09/15/25   1,024,332 
 1,300,000     Williams Partners LP   3.750   06/15/27   1,386,658 
 300,000     Williams Partners LP   6.300   04/15/40   359,541 
 300,000     Williams Partners LP   5.800   11/15/43   342,754 
 300,000     Williams Partners LP   5.400   03/04/44   333,437 
 1,000,000     Williams Partners LP   4.900   01/15/45   1,054,876 
 225,000     Williams Partners LP   5.100   09/15/45   246,018 
 1,700,000     Williams Partners LP   4.850   03/01/48   1,858,861 
       TOTAL ENERGY           378,623,493 
40

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
FOOD & STAPLES RETAILING - 0.3%            
$1,300,000     Costco Wholesale Corp   2.300%  05/18/22  $1,339,718 
 400,000     Costco Wholesale Corp   2.750   05/18/24   434,108 
 625,000     Costco Wholesale Corp   3.000   05/18/27   702,630 
 475,000     Costco Wholesale Corp   1.375   06/20/27   484,979 
 725,000     Costco Wholesale Corp   1.600   04/20/30   732,468 
 1,800,000     Costco Wholesale Corp   1.750   04/20/32   1,827,323 
 69,000     Delhaize Group S.A.   5.700   10/01/40   93,467 
 200,000     Kroger Co   2.950   11/01/21   205,877 
 200,000     Kroger Co   3.400   04/15/22   208,436 
 2,525,000     Kroger Co   2.800   08/01/22   2,636,550 
 200,000     Kroger Co   3.850   08/01/23   217,073 
 300,000     Kroger Co   4.000   02/01/24   331,047 
 100,000     Kroger Co   3.500   02/01/26   112,783 
 1,275,000     Kroger Co   2.650   10/15/26   1,390,165 
 175,000     Kroger Co   3.700   08/01/27   199,838 
 1,150,000     Kroger Co   4.500   01/15/29   1,404,457 
 250,000     Kroger Co   2.200   05/01/30   259,954 
 100,000     Kroger Co   6.900   04/15/38   149,260 
 250,000     Kroger Co   5.000   04/15/42   314,698 
 300,000     Kroger Co   5.150   08/01/43   381,502 
 300,000     Kroger Co   3.875   10/15/46   335,956 
 900,000     Kroger Co   4.450   02/01/47   1,090,078 
 700,000     Kroger Co   4.650   01/15/48   881,121 
 300,000     Kroger Co   5.400   01/15/49   419,536 
 500,000     Kroger Co   3.950   01/15/50   572,016 
 125,000     SYSCO Corp   2.500   07/15/21   127,160 
 250,000     SYSCO Corp   3.550   03/15/25   268,611 
 500,000     SYSCO Corp   5.650   04/01/25   584,928 
 125,000     SYSCO Corp   3.750   10/01/25   136,861 
 350,000     SYSCO Corp   3.300   07/15/26   374,838 
 1,000,000     SYSCO Corp   2.400   02/15/30   988,262 
 500,000     SYSCO Corp   5.950   04/01/30   626,535 
 500,000     SYSCO Corp   6.600   04/01/40   676,744 
 300,000     SYSCO Corp   4.850   10/01/45   347,515 
 500,000     SYSCO Corp   4.500   04/01/46   541,977 
 250,000     SYSCO Corp   4.450   03/15/48   278,229 
 550,000     SYSCO Corp   3.300   02/15/50   512,945 
 1,000,000     SYSCO Corp   6.600   04/01/50   1,373,724 
 275,000     Walgreen Co   3.100   09/15/22   288,189 
 200,000     Walgreen Co   4.400   09/15/42   208,590 
 800,000     Walgreens Boots Alliance, Inc   3.300   11/18/21   825,140 
 375,000     Walgreens Boots Alliance, Inc   3.800   11/18/24   412,832 
 1,775,000     Walgreens Boots Alliance, Inc   3.450   06/01/26   1,922,671 
 750,000     Walgreens Boots Alliance, Inc   3.200   04/15/30   775,494 
 1,400,000     Walgreens Boots Alliance, Inc   4.500   11/18/34   1,564,604 
 400,000     Walgreens Boots Alliance, Inc   4.800   11/18/44   432,984 
 525,000     Walgreens Boots Alliance, Inc   4.650   06/01/46   561,721 
 750,000     Walgreens Boots Alliance, Inc   4.100   04/15/50   756,038 
 2,100,000     Walmart, Inc   3.125   06/23/21   2,158,531 
 675,000     Walmart, Inc   2.350   12/15/22   706,730 
 1,475,000     Walmart, Inc   2.550   04/11/23   1,555,024 
 1,100,000     Walmart, Inc   3.400   06/26/23   1,194,684 
 1,250,000     Walmart, Inc   3.300   04/22/24   1,372,914 
41

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,725,000     Walmart, Inc   2.650%  12/15/24  $1,868,170 
 1,000,000     Walmart, Inc   3.050   07/08/26   1,128,206 
 4,100,000     Walmart, Inc   3.700   06/26/28   4,857,674 
 175,000     Walmart, Inc   2.375   09/24/29   190,930 
 375,000     Walmart, Inc   5.250   09/01/35   546,691 
 725,000     Walmart, Inc   3.950   06/28/38   922,479 
 4,725,000     Walmart, Inc   3.625   12/15/47   5,824,852 
 1,850,000     Walmart, Inc   4.050   06/29/48   2,425,686 
 1,900,000     Walmart, Inc   2.950   09/24/49   2,146,693 
       TOTAL FOOD & STAPLES RETAILING           58,210,896 
                     
FOOD, BEVERAGE & TOBACCO - 1.3%              
 1,800,000     Altria Group, Inc   4.750   05/05/21   1,866,087 
 475,000     Altria Group, Inc   3.490   02/14/22   495,400 
 1,075,000     Altria Group, Inc   2.850   08/09/22   1,120,032 
 200,000     Altria Group, Inc   2.950   05/02/23   210,561 
 250,000     Altria Group, Inc   4.000   01/31/24   275,300 
 700,000     Altria Group, Inc   3.800   02/14/24   765,366 
 300,000     Altria Group, Inc   2.350   05/06/25   315,666 
 400,000     Altria Group, Inc   4.400   02/14/26   460,073 
 700,000     Altria Group, Inc   2.625   09/16/26   746,480 
 800,000     Altria Group, Inc   3.400   05/06/30   860,557 
 800,000     Altria Group, Inc   5.800   02/14/39   997,435 
 925,000     Altria Group, Inc   4.250   08/09/42   975,053 
 300,000     Altria Group, Inc   4.500   05/02/43   322,029 
 775,000     Altria Group, Inc   5.375   01/31/44   928,776 
 900,000     Altria Group, Inc   3.875   09/16/46   897,224 
 1,875,000     Altria Group, Inc   5.950   02/14/49   2,458,332 
 1,000,000     Altria Group, Inc   4.450   05/06/50   1,093,401 
 1,700,000     Altria Group, Inc   6.200   02/14/59   2,266,510 
 775,000     Anheuser-Busch InBev Finance, Inc   3.300   02/01/23   819,660 
 125,000     Anheuser-Busch InBev Finance, Inc   3.700   02/01/24   137,276 
 1,125,000     Anheuser-Busch InBev Finance, Inc   4.625   02/01/44   1,290,826 
 625,000     Anheuser-Busch InBev Worldwide, Inc   4.900   01/23/31   787,360 
 1,700,000     Anheuser-Busch InBev Worldwide, Inc   4.375   04/15/38   1,952,359 
 100,000     Anheuser-Busch InBev Worldwide, Inc   8.200   01/15/39   158,730 
 2,675,000     Anheuser-Busch InBev Worldwide, Inc   5.450   01/23/39   3,378,839 
 500,000     Anheuser-Busch InBev Worldwide, Inc   4.350   06/01/40   569,388 
 150,000     Anheuser-Busch InBev Worldwide, Inc   4.950   01/15/42   181,457 
 425,000     Anheuser-Busch InBev Worldwide, Inc   4.600   04/15/48   496,149 
 1,764,000     Anheuser-Busch InBev Worldwide, Inc   4.439   10/06/48   2,031,347 
 2,025,000     Anheuser-Busch InBev Worldwide, Inc   5.550   01/23/49   2,710,506 
 941,000     Anheuser-Busch InBev Worldwide, Inc   4.500   06/01/50   1,122,039 
 1,725,000     Anheuser-Busch InBev Worldwide, Inc   4.750   04/15/58   2,082,175 
 2,150,000     Anheuser-Busch InBev Worldwide, Inc   5.800   01/23/59   3,058,266 
 500,000     Anheuser-Busch InBev Worldwide, Inc   4.600   06/01/60   597,713 
 300,000     Archer-Daniels-Midland Co   3.375   03/15/22   313,844 
 3,075,000     Archer-Daniels-Midland Co   2.500   08/11/26   3,344,154 
 740,000     Archer-Daniels-Midland Co   4.016   04/16/43   874,186 
 200,000     Archer-Daniels-Midland Co   3.750   09/15/47   239,691 
 800,000     Archer-Daniels-Midland Co   4.500   03/15/49   1,117,299 
 1,225,000     BAT Capital Corp   2.764   08/15/22   1,268,692 
 1,450,000     BAT Capital Corp   3.222   08/15/24   1,553,733 
 500,000     BAT Capital Corp   2.789   09/06/24   526,875 
42

TIAA-CREF FUNDS - Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$3,525,000     BAT Capital Corp   3.557%  08/15/27  $3,814,075 
 275,000     BAT Capital Corp   4.906   04/02/30   322,920 
 1,400,000     BAT Capital Corp   4.390   08/15/37   1,527,115 
 2,625,000     BAT Capital Corp   4.540   08/15/47   2,857,339 
 900,000     BAT Capital Corp   4.758   09/06/49   998,974 
 500,000     BAT Capital Corp   5.282   04/02/50   604,247 
 200,000     Beam, Inc   3.250   05/15/22   207,621 
 200,000     Brown-Forman Corp   3.500   04/15/25   224,106 
 200,000     Brown-Forman Corp   4.000   04/15/38   234,151 
 200,000     Brown-Forman Corp   4.500   07/15/45   240,612 
 800,000     Bunge Ltd   3.500   11/24/20   807,559 
 300,000     Bunge Ltd   3.000   09/25/22   312,685 
 500,000     Bunge Ltd   4.350   03/15/24   545,739 
 125,000     Bunge Ltd   3.250   08/15/26   129,063 
 500,000     Bunge Ltd   3.750   09/25/27   521,632 
 650,000     Campbell Soup Co   2.500   08/02/22   669,639 
 215,000     Campbell Soup Co   3.650   03/15/23   229,380 
 500,000     Campbell Soup Co   3.950   03/15/25   562,098 
 725,000     Campbell Soup Co   4.150   03/15/28   834,458 
 500,000     Campbell Soup Co   2.375   04/24/30   517,753 
 800,000     Campbell Soup Co   4.800   03/15/48   1,051,549 
 500,000     Campbell Soup Co   3.125   04/24/50   511,337 
 300,000     Coca-Cola Bottling Co Consolidated   3.800   11/25/25   329,032 
 1,800,000     Coca-Cola Co   1.550   09/01/21   1,826,089 
 650,000     Coca-Cola Co   2.500   04/01/23   689,279 
 2,975,000     Coca-Cola Co   3.200   11/01/23   3,242,250 
 800,000     Coca-Cola Co   1.750   09/06/24   839,464 
 950,000     Coca-Cola Co   2.875   10/27/25   1,056,109 
 300,000     Coca-Cola Co   2.550   06/01/26   331,538 
 400,000     Coca-Cola Co   2.250   09/01/26   434,621 
 1,000,000     Coca-Cola Co   1.450   06/01/27   1,027,021 
 600,000     Coca-Cola Co   2.125   09/06/29   639,121 
 300,000     Coca-Cola Co   3.450   03/25/30   352,907 
 800,000     Coca-Cola Co   1.650   06/01/30   813,616 
 725,000     Coca-Cola Co   2.500   06/01/40   750,236 
 125,000     Coca-Cola Co   4.200   03/25/50   164,091 
 1,500,000     Coca-Cola Co   2.600   06/01/50   1,515,516 
 2,000,000     Coca-Cola Co   2.750   06/01/60   2,020,054 
 1,500,000     Coca-Cola Femsa SAB de C.V.   2.750   01/22/30   1,586,357 
 200,000     Coca-Cola Femsa SAB de C.V.   5.250   11/26/43   269,163 
 625,000     ConAgra Brands, Inc   3.800   10/22/21   649,539 
 872,000     ConAgra Brands, Inc   3.200   01/25/23   918,492 
 1,000,000     ConAgra Brands, Inc   4.300   05/01/24   1,105,905 
 450,000     ConAgra Brands, Inc   4.600   11/01/25   518,689 
 100,000     ConAgra Brands, Inc   7.000   10/01/28   133,758 
 1,575,000     ConAgra Brands, Inc   4.850   11/01/28   1,900,105 
 750,000     ConAgra Brands, Inc   5.300   11/01/38   978,065 
 750,000     ConAgra Brands, Inc   5.400   11/01/48   1,035,189 
 300,000     Constellation Brands, Inc   2.700   05/09/22   311,127 
 300,000     Constellation Brands, Inc   2.650   11/07/22   312,908 
 1,250,000     Constellation Brands, Inc   3.200   02/15/23   1,326,756 
 2,275,000     Constellation Brands, Inc   4.250   05/01/23   2,498,045 
 100,000     Constellation Brands, Inc   4.400   11/15/25   115,586 
 750,000     Constellation Brands, Inc   3.700   12/06/26   836,905 
43

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     Constellation Brands, Inc   3.500%  05/09/27  $331,906 
 700,000     Constellation Brands, Inc   3.600   02/15/28   775,459 
 300,000     Constellation Brands, Inc   4.650   11/15/28   352,779 
 1,000,000     Constellation Brands, Inc   3.150   08/01/29   1,072,039 
 100,000     Constellation Brands, Inc   2.875   05/01/30   105,932 
 300,000     Constellation Brands, Inc   4.100   02/15/48   346,103 
 300,000     Constellation Brands, Inc   5.250   11/15/48   393,383 
 500,000     Constellation Brands, Inc   3.750   05/01/50   543,058 
 1,725,000     Diageo Capital plc   2.625   04/29/23   1,818,379 
 750,000     Diageo Capital plc   2.125   10/24/24   788,722 
 500,000     Diageo Capital plc   1.375   09/29/25   508,680 
 425,000     Diageo Capital plc   3.875   05/18/28   494,812 
 525,000     Diageo Capital plc   2.000   04/29/30   543,203 
 1,900,000     Diageo Capital plc   2.125   04/29/32   1,969,502 
 200,000     Diageo Capital plc   5.875   09/30/36   286,011 
 400,000     Diageo Capital plc   3.875   04/29/43   482,208 
 150,000     Flowers Foods, Inc   4.375   04/01/22   156,323 
 100,000     Flowers Foods, Inc   3.500   10/01/26   107,683 
 200,000     Fomento Economico Mexicano SAB de C.V.   2.875   05/10/23   207,477 
 300,000     Fomento Economico Mexicano SAB de C.V.   4.375   05/10/43   362,296 
 2,500,000     Fomento Economico Mexicano SAB de C.V.   3.500   01/16/50   2,579,273 
 200,000     General Mills, Inc   3.150   12/15/21   206,106 
 500,000     General Mills, Inc   2.600   10/12/22   520,914 
 200,000     General Mills, Inc   3.700   10/17/23   217,608 
 500,000     General Mills, Inc   3.650   02/15/24   549,047 
 150,000     General Mills, Inc   4.000   04/17/25   169,710 
 800,000     General Mills, Inc   3.200   02/10/27   903,417 
 3,800,000     General Mills, Inc   4.200   04/17/28   4,477,976 
 100,000     General Mills, Inc   2.875   04/15/30   108,717 
 150,000     General Mills, Inc   5.400   06/15/40   204,658 
 100,000     General Mills, Inc   4.150   02/15/43   121,482 
 200,000     General Mills, Inc   4.700   04/17/48   265,292 
 300,000     Hershey Co   2.050   11/15/24   315,673 
 500,000     Hershey Co   0.900   06/01/25   502,871 
 300,000     Hershey Co   2.450   11/15/29   325,386 
 500,000     Hershey Co   1.700   06/01/30   513,539 
 300,000     Hershey Co   3.375   08/15/46   336,161 
 300,000     Hershey Co   3.125   11/15/49   329,580 
 750,000     Hershey Co   2.650   06/01/50   763,095 
 1,500,000     Hormel Foods Corp   1.800   06/11/30   1,526,511 
 100,000     Ingredion, Inc   4.625   11/01/20   101,111 
 300,000     Ingredion, Inc   3.200   10/01/26   326,114 
 750,000     Ingredion, Inc   3.900   06/01/50   857,907 
 275,000     JM Smucker Co   3.500   10/15/21   285,685 
 300,000     JM Smucker Co   3.000   03/15/22   311,095 
 1,475,000     JM Smucker Co   3.500   03/15/25   1,634,665 
 200,000     JM Smucker Co   3.375   12/15/27   220,701 
 150,000     JM Smucker Co   2.375   03/15/30   153,114 
 300,000     JM Smucker Co   4.250   03/15/35   353,620 
 300,000     JM Smucker Co   4.375   03/15/45   355,896 
 400,000     JM Smucker Co   3.550   03/15/50   412,523 
 417,000     Kellogg Co   2.650   12/01/23   441,841 
 1,800,000     Kellogg Co   3.250   04/01/26   2,005,755 
 200,000     Kellogg Co   3.400   11/15/27   224,511 
44

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$800,000     Kellogg Co   4.300%  05/15/28  $942,747 
 275,000     Kellogg Co   2.100   06/01/30   278,532 
 150,000     Kellogg Co   4.500   04/01/46   184,878 
 1,025,000     Keurig Dr Pepper, Inc   3.551   05/25/21   1,053,484 
 1,600,000     Keurig Dr Pepper, Inc   4.057   05/25/23   1,744,885 
 500,000     Keurig Dr Pepper, Inc   3.130   12/15/23   537,542 
 275,000     Keurig Dr Pepper, Inc   4.417   05/25/25   317,087 
 200,000     Keurig Dr Pepper, Inc   3.400   11/15/25   222,749 
 200,000     Keurig Dr Pepper, Inc   2.550   09/15/26   214,295 
 2,750,000     Keurig Dr Pepper, Inc   4.597   05/25/28   3,297,841 
 750,000     Keurig Dr Pepper, Inc   3.200   05/01/30   829,698 
 500,000     Keurig Dr Pepper, Inc   4.420   12/15/46   595,393 
 750,000     Keurig Dr Pepper, Inc   5.085   05/25/48   988,587 
 300,000     Keurig Dr Pepper, Inc   3.800   05/01/50   342,229 
 400,000     McCormick & Co, Inc   2.700   08/15/22   416,792 
 250,000     McCormick & Co, Inc   3.150   08/15/24   270,719 
 250,000     McCormick & Co, Inc   3.400   08/15/27   278,348 
 500,000     McCormick & Co, Inc   2.500   04/15/30   521,456 
 400,000     McCormick & Co, Inc   4.200   08/15/47   475,624 
 925,000     Mead Johnson Nutrition Co   4.125   11/15/25   1,071,063 
 350,000     Mead Johnson Nutrition Co   4.600   06/01/44   445,647 
 800,000     Molson Coors Brewing Co   2.100   07/15/21   809,821 
 900,000     Molson Coors Brewing Co   3.500   05/01/22   939,110 
 1,025,000     Molson Coors Brewing Co   3.000   07/15/26   1,064,216 
 525,000     Molson Coors Brewing Co   5.000   05/01/42   557,552 
 1,550,000     Molson Coors Brewing Co   4.200   07/15/46   1,507,788 
 2,000,000     Mondelez International, Inc   0.625   07/01/22   1,999,720 
 150,000     Mondelez International, Inc   2.125   04/13/23   155,360 
 500,000     Mondelez International, Inc   3.625   05/07/23   538,476 
 1,000,000     Mondelez International, Inc   1.500   05/04/25   1,019,141 
 300,000     Mondelez International, Inc   3.625   02/13/26   338,919 
 500,000     Mondelez International, Inc   4.125   05/07/28   593,712 
 1,175,000     Mondelez International, Inc   2.750   04/13/30   1,267,342 
 500,000     Mondelez International, Inc   4.625   05/07/48   636,028 
 200,000     PepsiCo, Inc   3.000   08/25/21   205,967 
 1,375,000     PepsiCo, Inc   1.700   10/06/21   1,397,087 
 400,000     PepsiCo, Inc   2.750   03/05/22   417,089 
 600,000     PepsiCo, Inc   3.100   07/17/22   630,634 
 700,000     PepsiCo, Inc   2.750   03/01/23   743,242 
 1,425,000     PepsiCo, Inc   3.600   03/01/24   1,567,326 
 750,000     PepsiCo, Inc   2.250   03/19/25   802,251 
 525,000     PepsiCo, Inc   2.750   04/30/25   572,880 
 425,000     PepsiCo, Inc   3.500   07/17/25   479,631 
 275,000     PepsiCo, Inc   2.850   02/24/26   303,812 
 1,300,000     PepsiCo, Inc   2.375   10/06/26   1,420,362 
 150,000     PepsiCo, Inc   2.625   03/19/27   163,947 
 500,000     PepsiCo, Inc   2.750   03/19/30   557,106 
 2,275,000     PepsiCo, Inc   1.625   05/01/30   2,319,515 
 750,000     PepsiCo, Inc   3.500   03/19/40   891,383 
 625,000     PepsiCo, Inc   4.000   03/05/42   777,797 
 200,000     PepsiCo, Inc   3.600   08/13/42   240,000 
 450,000     PepsiCo, Inc   4.600   07/17/45   605,771 
 1,600,000     PepsiCo, Inc   4.450   04/14/46   2,133,143 
 575,000     PepsiCo, Inc   3.450   10/06/46   663,798 
45

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$925,000     PepsiCo, Inc   4.000%  05/02/47  $1,163,460 
 1,250,000     PepsiCo, Inc   3.375   07/29/49   1,433,095 
 750,000     PepsiCo, Inc   2.875   10/15/49   811,662 
 750,000     PepsiCo, Inc   3.625   03/19/50   912,064 
 750,000     PepsiCo, Inc   3.875   03/19/60   954,891 
 200,000     Philip Morris International, Inc   2.900   11/15/21   207,017 
 300,000     Philip Morris International, Inc   2.625   02/18/22   309,532 
 425,000     Philip Morris International, Inc   2.375   08/17/22   441,519 
 375,000     Philip Morris International, Inc   2.500   08/22/22   390,132 
 450,000     Philip Morris International, Inc   2.500   11/02/22   468,949 
 500,000     Philip Morris International, Inc   2.625   03/06/23   528,504 
 300,000     Philip Morris International, Inc   2.125   05/10/23   313,732 
 300,000     Philip Morris International, Inc   3.600   11/15/23   330,623 
 600,000     Philip Morris International, Inc   3.250   11/10/24   664,085 
 500,000     Philip Morris International, Inc   1.500   05/01/25   512,578 
 500,000     Philip Morris International, Inc   3.375   08/11/25   556,904 
 700,000     Philip Morris International, Inc   2.750   02/25/26   762,125 
 1,300,000     Philip Morris International, Inc   3.125   08/17/27   1,438,683 
 1,500,000     Philip Morris International, Inc   3.125   03/02/28   1,676,585 
 1,450,000     Philip Morris International, Inc   3.375   08/15/29   1,648,355 
 450,000     Philip Morris International, Inc   2.100   05/01/30   463,559 
 400,000     Philip Morris International, Inc   6.375   05/16/38   602,630 
 225,000     Philip Morris International, Inc   4.375   11/15/41   275,424 
 200,000     Philip Morris International, Inc   4.500   03/20/42   242,873 
 275,000     Philip Morris International, Inc   3.875   08/21/42   315,114 
 300,000     Philip Morris International, Inc   4.125   03/04/43   354,756 
 200,000     Philip Morris International, Inc   4.875   11/15/43   256,864 
 2,000,000     Philip Morris International, Inc   4.250   11/10/44   2,417,900 
 2,500,000     Reynolds American, Inc   4.000   06/12/22   2,641,321 
 200,000     Reynolds American, Inc   4.850   09/15/23   222,780 
 550,000     Reynolds American, Inc   4.450   06/12/25   619,628 
 750,000     Reynolds American, Inc   5.700   08/15/35   935,410 
 65,000     Reynolds American, Inc   7.250   06/15/37   86,862 
 200,000     Reynolds American, Inc   6.150   09/15/43   248,220 
 1,775,000     Reynolds American, Inc   5.850   08/15/45   2,219,587 
 150,000     Tyson Foods, Inc   2.250   08/23/21   151,984 
 1,600,000     Tyson Foods, Inc   4.500   06/15/22   1,701,191 
 100,000     Tyson Foods, Inc   3.900   09/28/23   109,159 
 750,000     Tyson Foods, Inc   3.950   08/15/24   830,451 
 500,000     Tyson Foods, Inc   4.000   03/01/26   572,244 
 1,150,000     Tyson Foods, Inc   3.550   06/02/27   1,273,416 
 500,000     Tyson Foods, Inc   4.350   03/01/29   586,978 
 500,000     Tyson Foods, Inc   5.150   08/15/44   619,329 
 300,000     Tyson Foods, Inc   4.550   06/02/47   360,531 
 1,700,000     Tyson Foods, Inc   5.100   09/28/48   2,209,887 
       TOTAL FOOD, BEVERAGE & TOBACCO           209,378,055 
                     
HEALTH CARE EQUIPMENT & SERVICES - 1.3%              
 500,000     Adventist Health System   2.952   03/01/29   516,310 
 500,000     Adventist Health System   3.630   03/01/49   507,139 
 200,000     Advocate Health & Hospitals Corp   3.829   08/15/28   226,614 
 750,000     Advocate Health & Hospitals Corp   2.211   06/15/30   768,331 
 100,000     Advocate Health & Hospitals Corp   4.272   08/15/48   128,192 
 600,000     Advocate Health & Hospitals Corp   3.387   10/15/49   671,486 
46

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000     Advocate Health & Hospitals Corp   3.008%  06/15/50  $516,100 
 200,000     Allina Health System   3.887   04/15/49   239,273 
 400,000     AmerisourceBergen Corp   3.400   05/15/24   432,715 
 700,000     AmerisourceBergen Corp   3.250   03/01/25   765,099 
 200,000     AmerisourceBergen Corp   3.450   12/15/27   225,530 
 1,000,000     AmerisourceBergen Corp   2.800   05/15/30   1,053,164 
 700,000     AmerisourceBergen Corp   4.300   12/15/47   785,137 
 150,000     Anthem, Inc   3.700   08/15/21   154,040 
 1,000,000     Anthem, Inc   3.125   05/15/22   1,047,470 
 500,000     Anthem, Inc   3.300   01/15/23   532,893 
 225,000     Anthem, Inc   3.500   08/15/24   246,214 
 1,625,000     Anthem, Inc   3.350   12/01/24   1,786,791 
 1,500,000     Anthem, Inc   2.375   01/15/25   1,589,673 
 850,000     Anthem, Inc   3.650   12/01/27   968,453 
 1,225,000     Anthem, Inc   4.101   03/01/28   1,431,671 
 500,000     Anthem, Inc   2.875   09/15/29   539,986 
 1,500,000     Anthem, Inc   2.250   05/15/30   1,543,200 
 1,150,000     Anthem, Inc   4.625   05/15/42   1,430,807 
 125,000     Anthem, Inc   4.650   01/15/43   156,926 
 500,000     Anthem, Inc   5.100   01/15/44   658,716 
 425,000     Anthem, Inc   4.650   08/15/44   541,756 
 625,000     Anthem, Inc   4.375   12/01/47   778,600 
 1,800,000     Anthem, Inc   4.550   03/01/48   2,290,124 
 500,000     Anthem, Inc   3.700   09/15/49   568,573 
 1,500,000     Anthem, Inc   3.125   05/15/50   1,551,008 
 500,000     Ascension Health   2.532   11/15/29   536,127 
 500,000     Ascension Health   3.106   11/15/39   547,105 
 875,000     Ascension Health   3.945   11/15/46   1,093,362 
 200,000     Ascension Health   4.847   11/15/53   293,392 
 500,000     Banner Health   2.338   01/01/30   514,224 
 500,000     Banner Health   3.181   01/01/50   537,384 
 300,000     Baxter International, Inc   1.700   08/15/21   304,015 
 475,000     Baxter International, Inc   2.600   08/15/26   521,572 
 300,000     Baxter International, Inc   3.500   08/15/46   332,851 
 290,000     Baylor Scott & White Holdings   4.185   11/15/45   362,956 
 200,000     Baylor Scott & White Holdings   3.967   11/15/46   238,703 
 1,450,000     Becton Dickinson & Co   2.894   06/06/22   1,500,456 
 1,400,000     Becton Dickinson & Co   3.363   06/06/24   1,509,526 
 601,000     Becton Dickinson & Co   3.734   12/15/24   661,712 
 1,277,000     Becton Dickinson & Co   3.700   06/06/27   1,428,705 
 675,000     Becton Dickinson & Co   2.823   05/20/30   715,499 
 391,000     Becton Dickinson & Co   4.685   12/15/44   481,308 
 1,000,000     Becton Dickinson & Co   4.669   06/06/47   1,237,737 
 1,000,000     Becton Dickinson & Co   3.794   05/20/50   1,112,976 
 100,000     Bio-Rad Laboratories, Inc   4.875   12/15/20   101,670 
 500,000     Bon Secours Mercy Health, Inc   3.464   06/01/30   552,095 
 300,000     Boston Scientific Corp   3.375   05/15/22   313,659 
 500,000     Boston Scientific Corp   3.450   03/01/24   541,610 
 1,155,000     Boston Scientific Corp   3.850   05/15/25   1,298,929 
 500,000     Boston Scientific Corp   3.750   03/01/26   567,762 
 700,000     Boston Scientific Corp   4.000   03/01/28   795,539 
 275,000     Boston Scientific Corp   4.000   03/01/29   314,598 
 1,500,000     Boston Scientific Corp   2.650   06/01/30   1,558,005 
 700,000     Boston Scientific Corp   4.550   03/01/39   859,735 
47

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$775,000     Boston Scientific Corp   4.700%  03/01/49  $988,326 
 625,000     Cardinal Health, Inc   2.616   06/15/22   645,013 
 100,000     Cardinal Health, Inc   3.200   06/15/22   104,281 
 200,000     Cardinal Health, Inc   3.200   03/15/23   211,539 
 650,000     Cardinal Health, Inc   3.079   06/15/24   691,860 
 100,000     Cardinal Health, Inc   3.500   11/15/24   108,731 
 200,000     Cardinal Health, Inc   3.750   09/15/25   223,242 
 1,475,000     Cardinal Health, Inc   3.410   06/15/27   1,651,138 
 100,000     Cardinal Health, Inc   4.600   03/15/43   109,822 
 200,000     Cardinal Health, Inc   4.500   11/15/44   218,381 
 200,000     Cardinal Health, Inc   4.900   09/15/45   231,379 
 500,000     Cardinal Health, Inc   4.368   06/15/47   555,985 
 200,000     CHRISTUS Health   4.341   07/01/28   225,870 
 1,500,000     Cigna Corp   3.400   09/17/21   1,550,717 
 525,000  g  Cigna Corp   3.900   02/15/22   551,894 
 1,100,000  g  Cigna Corp   3.000   07/15/23   1,169,696 
 1,147,000     Cigna Corp   3.750   07/15/23   1,245,261 
 300,000  g  Cigna Corp   3.500   06/15/24   327,764 
 900,000  g  Cigna Corp   3.250   04/15/25   982,540 
 150,000  g  Cigna Corp   4.500   02/25/26   174,504 
 1,475,000  g  Cigna Corp   3.400   03/01/27   1,624,678 
 300,000  g  Cigna Corp   3.050   10/15/27   326,003 
 3,275,000     Cigna Corp   4.375   10/15/28   3,875,739 
 250,000     Cigna Corp   2.400   03/15/30   259,372 
 1,700,000     Cigna Corp   4.800   08/15/38   2,153,434 
 225,000     Cigna Corp   3.200   03/15/40   238,265 
 93,000  g  Cigna Corp   6.125   11/15/41   132,780 
 975,000  g  Cigna Corp   4.800   07/15/46   1,226,674 
 1,150,000  g  Cigna Corp   3.875   10/15/47   1,318,569 
 2,450,000     Cigna Corp   4.900   12/15/48   3,238,361 
 750,000     Cigna Corp   3.400   03/15/50   807,968 
 600,000     City of Hope   4.378   08/15/48   733,422 
 150,000     Covidien International Finance S.A.   3.200   06/15/22   157,325 
 1,222,000     CVS Health Corp   3.350   03/09/21   1,246,244 
 1,025,000     CVS Health Corp   2.125   06/01/21   1,038,502 
 900,000     CVS Health Corp   3.500   07/20/22   948,177 
 925,000     CVS Health Corp   2.750   12/01/22   965,367 
 425,000     CVS Health Corp   4.000   12/05/23   466,192 
 900,000     CVS Health Corp   3.375   08/12/24   980,334 
 250,000     CVS Health Corp   2.625   08/15/24   266,938 
 5,075,000     CVS Health Corp   4.100   03/25/25   5,736,884 
 1,969,000     CVS Health Corp   3.875   07/20/25   2,211,184 
 2,550,000     CVS Health Corp   2.875   06/01/26   2,760,962 
 1,250,000     CVS Health Corp   3.000   08/15/26   1,366,709 
 5,550,000     CVS Health Corp   4.300   03/25/28   6,488,461 
 275,000     CVS Health Corp   3.250   08/15/29   303,774 
 4,100,000     CVS Health Corp   4.780   03/25/38   5,093,166 
 400,000     CVS Health Corp   5.300   12/05/43   522,927 
 1,800,000     CVS Health Corp   5.125   07/20/45   2,318,455 
 8,525,000     CVS Health Corp   5.050   03/25/48   11,089,048 
 200,000     Danaher Corp   3.350   09/15/25   223,093 
 200,000     Danaher Corp   4.375   09/15/45   254,191 
 100,000     Dartmouth-Hitchcock Health   4.178   08/01/48   108,462 
 1,000,000     DENTSPLY SIRONA, Inc   3.250   06/01/30   1,047,698 
48

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$200,000     Dignity Health   5.267%  11/01/64  $238,258 
 400,000     Duke University Health System, Inc   3.920   06/01/47   499,072 
 400,000     Edwards Lifesciences Corp   4.300   06/15/28   476,791 
 200,000     Hackensack Meridian Health, Inc   4.211   07/01/48   241,528 
 200,000     Hackensack Meridian Health, Inc   4.500   07/01/57   262,060 
 685,000     Hartford HealthCare Corp   3.447   07/01/54   633,268 
 2,500,000     HCA, Inc   5.000   03/15/24   2,780,175 
 2,000,000     HCA, Inc   4.500   02/15/27   2,229,596 
 225,000     HCA, Inc   5.125   06/15/39   262,188 
 875,000     HCA, Inc   5.500   06/15/47   1,065,185 
 2,500,000     HCA, Inc   5.250   06/15/49   3,009,940 
 250,000     Humana, Inc   2.500   12/15/20   252,253 
 100,000     Humana, Inc   3.150   12/01/22   104,802 
 400,000     Humana, Inc   2.900   12/15/22   418,244 
 300,000     Humana, Inc   3.850   10/01/24   329,406 
 600,000     Humana, Inc   3.950   03/15/27   680,641 
 175,000     Humana, Inc   3.125   08/15/29   189,501 
 200,000     Humana, Inc   4.625   12/01/42   245,065 
 300,000     Humana, Inc   4.950   10/01/44   393,879 
 600,000     Humana, Inc   4.800   03/15/47   781,798 
 500,000     Humana, Inc   3.950   08/15/49   588,908 
 200,000     Indiana University Health, Inc Obligated Group   3.970   11/01/48   250,636 
 350,000     Johns Hopkins Health System Corp   3.837   05/15/46   420,018 
 100,000     Kaiser Foundation Hospitals   3.500   04/01/22   104,860 
 500,000     Kaiser Foundation Hospitals   3.150   05/01/27   555,259 
 100,000     Kaiser Foundation Hospitals   4.875   04/01/42   136,103 
 1,265,000     Kaiser Foundation Hospitals   4.150   05/01/47   1,648,821 
 1,000,000     Kaiser Foundation Hospitals   3.266   11/01/49   1,125,734 
 1,500,000     Laboratory Corp of America Holdings   3.200   02/01/22   1,555,967 
 200,000     Laboratory Corp of America Holdings   3.750   08/23/22   211,012 
 700,000     Laboratory Corp of America Holdings   4.000   11/01/23   765,186 
 200,000     Laboratory Corp of America Holdings   3.250   09/01/24   215,869 
 500,000     Laboratory Corp of America Holdings   2.300   12/01/24   526,358 
 100,000     Laboratory Corp of America Holdings   3.600   02/01/25   110,327 
 300,000     Laboratory Corp of America Holdings   3.600   09/01/27   336,072 
 500,000     Laboratory Corp of America Holdings   2.950   12/01/29   530,676 
 800,000     Laboratory Corp of America Holdings   4.700   02/01/45   973,451 
 200,000     Mayo Clinic   4.000   11/15/47   249,676 
 200,000     Mayo Clinic   4.128   11/15/52   259,858 
 300,000     McKesson Corp   3.650   11/30/20   303,856 
 600,000     McKesson Corp   2.700   12/15/22   625,016 
 200,000     McKesson Corp   2.850   03/15/23   209,406 
 1,925,000     McKesson Corp   3.796   03/15/24   2,111,456 
 500,000     McKesson Corp   3.950   02/16/28   571,796 
 300,000     McKesson Corp   4.750   05/30/29   362,281 
 200,000     McLaren Health Care Corp   4.386   05/15/48   248,487 
 433,000     Medtronic, Inc   3.150   03/15/22   454,011 
 2,059,000     Medtronic, Inc   3.500   03/15/25   2,321,420 
 2,777,000     Medtronic, Inc   4.375   03/15/35   3,627,141 
 1,074,000     Medtronic, Inc   4.625   03/15/45   1,445,891 
 500,000     Memorial Health Services   3.447   11/01/49   524,800 
 200,000     Memorial Sloan-Kettering Cancer Center   4.125   07/01/52   260,373 
 500,000     Memorial Sloan-Kettering Cancer Center   4.200   07/01/55   654,303 
 200,000     Mercy Health   4.302   07/01/28   235,774 
49

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000     Montefiore Obligated Group   5.246%  11/01/48  $558,619 
 750,000     Montefiore Obligated Group   4.287   09/01/50   742,439 
 100,000     Mount Sinai Hospitals Group, Inc   3.981   07/01/48   109,818 
 600,000     Mount Sinai Hospitals Group, Inc   3.737   07/01/49   640,543 
 300,000     New York and Presbyterian Hospital   4.024   08/01/45   368,069 
 150,000     New York and Presbyterian Hospital   4.063   08/01/56   186,746 
 500,000     New York and Presbyterian Hospital   3.954   08/01/19   533,650 
 140,000     Northwell Healthcare, Inc   3.979   11/01/46   146,416 
 675,000     Northwell Healthcare, Inc   4.260   11/01/47   751,366 
 500,000     Northwell Healthcare, Inc   3.809   11/01/49   519,143 
 350,000     NYU Hospitals Center   5.750   07/01/43   460,561 
 250,000     NYU Hospitals Center   4.368   07/01/47   282,418 
 915,000     NYU Langone Hospitals   3.380   07/01/55   882,590 
 750,000     OhioHealth Corp   3.042   11/15/50   799,049 
 100,000     Orlando Health Obligated Group   4.089   10/01/48   112,239 
 200,000     PeaceHealth Obligated Group   4.787   11/15/48   264,925 
 500,000     PerkinElmer, Inc   3.300   09/15/29   535,785 
 200,000     Providence St. Joseph Health Obligated Group   2.746   10/01/26   213,879 
 570,000     Providence St. Joseph Health Obligated Group   2.532   10/01/29   593,970 
 100,000     Providence St. Joseph Health Obligated Group   3.744   10/01/47   113,647 
 350,000     Providence St. Joseph Health Obligated Group   3.930   10/01/48   408,703 
 400,000     Quest Diagnostics, Inc   4.700   04/01/21   412,055 
 125,000     Quest Diagnostics, Inc   3.500   03/30/25   137,373 
 225,000     Quest Diagnostics, Inc   3.450   06/01/26   253,064 
 500,000     Quest Diagnostics, Inc   4.200   06/30/29   586,066 
 750,000     Quest Diagnostics, Inc   2.950   06/30/30   798,142 
 500,000     Quest Diagnostics, Inc   2.800   06/30/31   524,516 
 300,000     Quest Diagnostics, Inc   4.700   03/30/45   361,152 
 390,000     Rush Obligated Group   3.922   11/15/29   437,381 
 200,000     RWJ Barnabas Health, Inc   3.949   07/01/46   226,319 
 300,000     SSM Health Care Corp   3.688   06/01/23   322,119 
 400,000     SSM Health Care Corp   3.823   06/01/27   451,458 
 500,000     Stanford Health Care   3.795   11/15/48   609,154 
 475,000     Stryker Corp   1.150   06/15/25   478,140 
 200,000     Stryker Corp   3.375   11/01/25   223,732 
 1,600,000     Stryker Corp   3.500   03/15/26   1,800,798 
 500,000     Stryker Corp   3.650   03/07/28   572,788 
 600,000     Stryker Corp   1.950   06/15/30   602,527 
 200,000     Stryker Corp   4.100   04/01/43   237,253 
 200,000     Stryker Corp   4.375   05/15/44   243,605 
 550,000     Stryker Corp   4.625   03/15/46   705,889 
 575,000     Stryker Corp   2.900   06/15/50   576,274 
 200,000     Sutter Health   3.695   08/15/28   223,709 
 200,000     Sutter Health   4.091   08/15/48   234,972 
 100,000     Texas Health Resources   4.330   11/15/55   129,304 
 1,300,000     Thermo Fisher Scientific, Inc   3.000   04/15/23   1,376,836 
 850,000     Thermo Fisher Scientific, Inc   4.150   02/01/24   942,624 
 150,000     Thermo Fisher Scientific, Inc   3.650   12/15/25   169,443 
 975,000     Thermo Fisher Scientific, Inc   2.950   09/19/26   1,078,446 
 1,150,000     Thermo Fisher Scientific, Inc   3.200   08/15/27   1,282,777 
 1,500,000     Thermo Fisher Scientific, Inc   2.600   10/01/29   1,619,377 
 200,000     Thermo Fisher Scientific, Inc   5.300   02/01/44   282,394 
 200,000     Thermo Fisher Scientific, Inc   4.100   08/15/47   248,816 
 300,000     Trinity Health Corp   4.125   12/01/45   359,460 
50

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$185,000     Trinity Health Corp   3.434%  12/01/48  $201,433 
 700,000     UnitedHealth Group, Inc   4.700   02/15/21   711,296 
 675,000     UnitedHealth Group, Inc   3.150   06/15/21   693,384 
 500,000     UnitedHealth Group, Inc   2.875   12/15/21   518,519 
 250,000     UnitedHealth Group, Inc   2.875   03/15/22   258,772 
 800,000     UnitedHealth Group, Inc   3.350   07/15/22   849,237 
 625,000     UnitedHealth Group, Inc   2.375   10/15/22   651,541 
 325,000     UnitedHealth Group, Inc   2.750   02/15/23   342,681 
 400,000     UnitedHealth Group, Inc   2.875   03/15/23   424,366 
 1,650,000     UnitedHealth Group, Inc   3.500   02/15/24   1,815,717 
 500,000     UnitedHealth Group, Inc   3.700   12/15/25   573,172 
 1,000,000     UnitedHealth Group, Inc   1.250   01/15/26   1,018,504 
 200,000     UnitedHealth Group, Inc   3.450   01/15/27   228,170 
 300,000     UnitedHealth Group, Inc   3.375   04/15/27   341,998 
 1,700,000     UnitedHealth Group, Inc   2.950   10/15/27   1,897,107 
 2,375,000     UnitedHealth Group, Inc   3.850   06/15/28   2,809,411 
 500,000     UnitedHealth Group, Inc   3.875   12/15/28   598,572 
 1,000,000     UnitedHealth Group, Inc   2.875   08/15/29   1,116,151 
 925,000     UnitedHealth Group, Inc   4.625   07/15/35   1,216,790 
 150,000     UnitedHealth Group, Inc   5.800   03/15/36   212,007 
 365,000     UnitedHealth Group, Inc   6.625   11/15/37   557,986 
 200,000     UnitedHealth Group, Inc   6.875   02/15/38   314,468 
 275,000     UnitedHealth Group, Inc   3.500   08/15/39   319,671 
 300,000     UnitedHealth Group, Inc   4.375   03/15/42   383,318 
 350,000     UnitedHealth Group, Inc   3.950   10/15/42   419,152 
 375,000     UnitedHealth Group, Inc   4.250   03/15/43   468,295 
 1,500,000     UnitedHealth Group, Inc   4.750   07/15/45   2,019,582 
 800,000     UnitedHealth Group, Inc   4.200   01/15/47   1,014,464 
 300,000     UnitedHealth Group, Inc   4.250   04/15/47   385,089 
 500,000     UnitedHealth Group, Inc   3.750   10/15/47   596,395 
 1,700,000     UnitedHealth Group, Inc   4.250   06/15/48   2,172,124 
 1,600,000     UnitedHealth Group, Inc   4.450   12/15/48   2,093,998 
 1,000,000     UnitedHealth Group, Inc   3.700   08/15/49   1,182,540 
 1,000,000     UnitedHealth Group, Inc   2.900   05/15/50   1,064,870 
 1,250,000     UnitedHealth Group, Inc   3.875   08/15/59   1,530,577 
 1,000,000     UnitedHealth Group, Inc   3.125   05/15/60   1,068,093 
 750,000     Zimmer Biomet Holdings, Inc   3.150   04/01/22   778,515 
 250,000     Zimmer Biomet Holdings, Inc   3.700   03/19/23   265,913 
 2,575,000     Zimmer Biomet Holdings, Inc   3.550   04/01/25   2,799,631 
 225,000     Zimmer Biomet Holdings, Inc   3.050   01/15/26   241,936 
 300,000     Zimmer Biomet Holdings, Inc   3.550   03/20/30   323,671 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES           222,808,610 
                     
HOUSEHOLD & PERSONAL PRODUCTS - 0.2%              
 100,000     Church & Dwight Co, Inc   2.450   08/01/22   104,563 
 250,000     Church & Dwight Co, Inc   2.875   10/01/22   261,335 
 500,000     Church & Dwight Co, Inc   3.150   08/01/27   550,790 
 100,000     Church & Dwight Co, Inc   3.950   08/01/47   113,472 
 100,000     Clorox Co   3.800   11/15/21   104,243 
 100,000     Clorox Co   3.050   09/15/22   105,253 
 200,000     Clorox Co   3.500   12/15/24   221,865 
 300,000     Clorox Co   3.100   10/01/27   328,173 
 500,000     Clorox Co   3.900   05/15/28   583,868 
 1,000,000     Clorox Co   1.800   05/15/30   1,008,606 
51

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$200,000     Colgate-Palmolive Co   2.300%  05/03/22  $207,002 
 1,100,000     Colgate-Palmolive Co   2.250   11/15/22   1,150,285 
 200,000     Colgate-Palmolive Co   1.950   02/01/23   208,532 
 300,000     Colgate-Palmolive Co   3.250   03/15/24   329,303 
 60,000     Colgate-Palmolive Co   6.450   06/16/28   77,829 
 300,000     Colgate-Palmolive Co   4.000   08/15/45   396,880 
 550,000     Colgate-Palmolive Co   3.700   08/01/47   706,032 
 200,000     Estee Lauder Cos, Inc   2.350   08/15/22   207,152 
 125,000     Estee Lauder Cos, Inc   2.000   12/01/24   131,647 
 450,000     Estee Lauder Cos, Inc   3.150   03/15/27   502,379 
 200,000     Estee Lauder Cos, Inc   2.375   12/01/29   214,109 
 100,000     Estee Lauder Cos, Inc   2.600   04/15/30   109,053 
 100,000     Estee Lauder Cos, Inc   6.000   05/15/37   143,647 
 300,000     Estee Lauder Cos, Inc   4.375   06/15/45   387,648 
 375,000     Estee Lauder Cos, Inc   4.150   03/15/47   473,503 
 700,000     Estee Lauder Cos, Inc   3.125   12/01/49   768,826 
 125,000     Kimberly-Clark Corp   2.400   03/01/22   128,710 
 950,000     Kimberly-Clark Corp   3.050   08/15/25   1,049,991 
 412,000     Kimberly-Clark Corp   3.950   11/01/28   491,842 
 1,500,000     Kimberly-Clark Corp   3.200   04/25/29   1,699,346 
 200,000     Kimberly-Clark Corp   6.625   08/01/37   315,446 
 725,000     Kimberly-Clark Corp   3.200   07/30/46   818,731 
 200,000     Kimberly-Clark Corp   3.900   05/04/47   246,549 
 300,000     Kimberly-Clark Corp   2.875   02/07/50   325,642 
 800,000     Procter & Gamble Co   2.300   02/06/22   825,920 
 2,400,000     Procter & Gamble Co   2.150   08/11/22   2,491,581 
 600,000     Procter & Gamble Co   3.100   08/15/23   655,317 
 750,000     Procter & Gamble Co   2.700   02/02/26   838,510 
 1,750,000     Procter & Gamble Co   2.450   11/03/26   1,919,608 
 750,000     Procter & Gamble Co   2.850   08/11/27   844,308 
 700,000     Procter & Gamble Co   3.500   10/25/47   860,162 
 1,800,000     Procter & Gamble Co   3.600   03/25/50   2,240,800 
       TOTAL HOUSEHOLD & PERSONAL PRODUCTS           25,148,458 
                     
INSURANCE - 0.9%              
 250,000     ACE INA Holdings, Inc   2.700   03/13/23   263,780 
 700,000     ACE INA Holdings, Inc   3.150   03/15/25   773,483 
 2,325,000     ACE INA Holdings, Inc   3.350   05/03/26   2,651,063 
 150,000     ACE INA Holdings, Inc   4.150   03/13/43   194,046 
 1,600,000     ACE INA Holdings, Inc   4.350   11/03/45   2,086,532 
 500,000     Aegon NV   5.500   04/11/48   530,250 
 1,175,000     Aetna, Inc   2.750   11/15/22   1,223,936 
 1,125,000     Aetna, Inc   2.800   06/15/23   1,185,219 
 325,000     Aetna, Inc   3.500   11/15/24   353,786 
 440,000     Aetna, Inc   6.625   06/15/36   625,602 
 350,000     Aetna, Inc   4.500   05/15/42   416,197 
 500,000     Aetna, Inc   4.125   11/15/42   562,065 
 1,050,000     Aetna, Inc   3.875   08/15/47   1,184,066 
 600,000     Aflac, Inc   3.625   06/15/23   656,139 
 525,000     Aflac, Inc   3.625   11/15/24   594,153 
 200,000     Aflac, Inc   2.875   10/15/26   217,212 
 375,000     Aflac, Inc   3.600   04/01/30   437,762 
 200,000     Aflac, Inc   4.000   10/15/46   230,261 
 500,000     Aflac, Inc   4.750   01/15/49   643,825 
52

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     Alleghany Corp   4.950%  06/27/22  $319,622 
 1,000,000     Alleghany Corp   3.625   05/15/30   1,060,886 
 200,000     Alleghany Corp   4.900   09/15/44   237,928 
 300,000     Allied World Assurance Co Holdings Ltd   4.350   10/29/25   313,953 
 1,250,000     Allstate Corp   3.150   06/15/23   1,344,900 
 275,000     Allstate Corp   3.280   12/15/26   313,847 
 600,000     Allstate Corp   4.500   06/15/43   765,416 
 975,000     Allstate Corp   4.200   12/15/46   1,204,710 
 250,000     Allstate Corp   3.850   08/10/49   299,469 
 200,000     Allstate Corp   5.750   08/15/53   206,608 
 300,000     American Financial Group, Inc   3.500   08/15/26   319,747 
 325,000     American Financial Group, Inc   5.250   04/02/30   386,088 
 400,000     American Financial Group, Inc   4.500   06/15/47   412,695 
 300,000     American International Group, Inc   3.300   03/01/21   305,051 
 600,000     American International Group, Inc   4.125   02/15/24   669,422 
 500,000     American International Group, Inc   2.500   06/30/25   529,044 
 750,000     American International Group, Inc   3.750   07/10/25   829,981 
 825,000     American International Group, Inc   4.200   04/01/28   938,641 
 2,600,000     American International Group, Inc   4.250   03/15/29   2,976,291 
 1,000,000     American International Group, Inc   3.400   06/30/30   1,083,231 
 1,675,000     American International Group, Inc   3.875   01/15/35   1,919,278 
 300,000     American International Group, Inc   4.700   07/10/35   365,373 
 925,000     American International Group, Inc   6.250   05/01/36   1,247,297 
 725,000     American International Group, Inc   4.500   07/16/44   844,303 
 300,000     American International Group, Inc   4.800   07/10/45   364,199 
 1,000,000     American International Group, Inc   4.750   04/01/48   1,205,247 
 300,000     American International Group, Inc   5.750   04/01/48   309,628 
 1,000,000     American International Group, Inc   4.375   06/30/50   1,145,811 
 200,000     American International Group, Inc   4.375   01/15/55   229,562 
 300,000     Aon Corp   2.200   11/15/22   311,464 
 200,000     Aon Corp   4.500   12/15/28   238,234 
 450,000     Aon Corp   3.750   05/02/29   515,363 
 450,000     Aon Corp   2.800   05/15/30   481,023 
 200,000     Aon Corp   6.250   09/30/40   285,800 
 200,000     Aon plc   2.800   03/15/21   203,472 
 200,000     Aon plc   4.000   11/27/23   218,798 
 300,000     Aon plc   3.500   06/14/24   326,849 
 2,450,000     Aon plc   3.875   12/15/25   2,784,885 
 550,000     Aon plc   4.750   05/15/45   701,112 
 1,050,000     Arch Capital Group Ltd   4.011   12/15/26   1,189,872 
 200,000     Arch Capital Group Ltd   5.031   12/15/46   249,886 
 600,000     Arch Capital Group Ltd   3.635   06/30/50   627,846 
 300,000     Arch Capital Group US, Inc   5.144   11/01/43   376,060 
 200,000     Aspen Insurance Holdings Ltd   4.650   11/15/23   209,578 
 100,000     Assurant, Inc   4.000   03/15/23   106,665 
 300,000     Assurant, Inc   4.200   09/27/23   318,002 
 300,000     Assurant, Inc   4.900   03/27/28   327,820 
 500,000     Assurant, Inc   3.700   02/22/30   502,528 
 7,000     Assurant, Inc   6.750   02/15/34   8,423 
 200,000     Assured Guaranty US Holdings, Inc   5.000   07/01/24   223,336 
 675,000     Athene Holding Ltd   4.125   01/12/28   696,309 
 500,000     Athene Holding Ltd   6.150   04/03/30   575,400 
 770,000     AXA S.A.   8.600   12/15/30   1,118,357 
 300,000     AXIS Specialty Finance LLC   3.900   07/15/29   320,711 
53

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$250,000     AXIS Specialty Finance LLC   4.900%  01/15/40  $234,375 
 200,000     AXIS Specialty Finance plc   4.000   12/06/27   210,332 
 275,000     Berkshire Hathaway Finance Corp   3.000   05/15/22   288,400 
 100,000     Berkshire Hathaway Finance Corp   1.850   03/12/30   102,792 
 300,000     Berkshire Hathaway Finance Corp   4.400   05/15/42   390,743 
 2,175,000     Berkshire Hathaway Finance Corp   4.200   08/15/48   2,759,265 
 1,725,000     Berkshire Hathaway Finance Corp   4.250   01/15/49   2,209,953 
 1,475,000     Brighthouse Financial, Inc   3.700   06/22/27   1,503,987 
 1,000,000     Brighthouse Financial, Inc   5.625   05/15/30   1,108,015 
 725,000     Brighthouse Financial, Inc   4.700   06/22/47   662,889 
 500,000     Brown & Brown, Inc   4.500   03/15/29   538,701 
 450,000     Chubb Corp   6.000   05/11/37   651,475 
 1,225,000     Chubb INA Holdings, Inc   2.875   11/03/22   1,287,700 
 200,000     Cincinnati Financial Corp   6.920   05/15/28   262,753 
 500,000     CNA Financial Corp   5.750   08/15/21   526,971 
 690,000     CNA Financial Corp   3.950   05/15/24   750,119 
 200,000     CNA Financial Corp   4.500   03/01/26   226,193 
 225,000     CNA Financial Corp   3.450   08/15/27   239,963 
 100,000     CNA Financial Corp   3.900   05/01/29   110,171 
 200,000     Enstar Group Ltd   4.500   03/10/22   202,631 
 500,000     Enstar Group Ltd   4.950   06/01/29   526,484 
 300,000     Everest Reinsurance Holdings, Inc   4.868   06/01/44   344,692 
 400,000     Fairfax Financial Holdings Ltd   4.850   04/17/28   428,377 
 500,000  g  Fairfax Financial Holdings Ltd   4.625   04/29/30   538,682 
 250,000     Fidelity National Financial, Inc   5.500   09/01/22   268,928 
 300,000     Fidelity National Financial, Inc   4.500   08/15/28   337,634 
 1,000,000     Fidelity National Financial, Inc   3.400   06/15/30   1,040,797 
 750,000     First American Financial Corp   4.000   05/15/30   822,177 
 200,000     Hanover Insurance Group, Inc   4.500   04/15/26   219,313 
 750,000     Hartford Financial Services Group, Inc   2.800   08/19/29   793,936 
 400,000     Hartford Financial Services Group, Inc   4.300   04/15/43   459,979 
 450,000     Hartford Financial Services Group, Inc   4.400   03/15/48   542,191 
 450,000     Hartford Financial Services Group, Inc   3.600   08/19/49   474,271 
 200,000     Kemper Corp   4.350   02/15/25   215,700 
 400,000     Leucadia National Corp   5.500   10/18/23   433,286 
 400,000     Lincoln National Corp   4.200   03/15/22   423,622 
 625,000     Lincoln National Corp   4.000   09/01/23   680,485 
 175,000     Lincoln National Corp   3.350   03/09/25   190,463 
 600,000     Lincoln National Corp   3.625   12/12/26   661,536 
 1,175,000     Lincoln National Corp   3.800   03/01/28   1,302,570 
 650,000     Lincoln National Corp   3.050   01/15/30   684,196 
 500,000     Lincoln National Corp   3.400   01/15/31   542,566 
 150,000     Lincoln National Corp   7.000   06/15/40   214,197 
 250,000     Lincoln National Corp   4.350   03/01/48   280,549 
 500,000     Lincoln National Corp   4.375   06/15/50   571,063 
 200,000     Loews Corp   2.625   05/15/23   211,441 
 800,000     Loews Corp   3.750   04/01/26   897,908 
 400,000     Loews Corp   3.200   05/15/30   434,462 
 200,000     Loews Corp   4.125   05/15/43   217,038 
 700,000     Manulife Financial Corp   4.150   03/04/26   824,493 
 1,000,000     Manulife Financial Corp   2.484   05/19/27   1,047,036 
 1,300,000     Manulife Financial Corp   4.061   02/24/32   1,377,662 
 200,000     Manulife Financial Corp   5.375   03/04/46   265,779 
54

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$150,000     Markel Corp   4.900%  07/01/22  $160,707 
 600,000     Markel Corp   3.500   11/01/27   645,238 
 200,000     Markel Corp   3.350   09/17/29   213,495 
 150,000     Markel Corp   5.000   04/05/46   184,216 
 100,000     Markel Corp   4.300   11/01/47   113,068 
 750,000     Markel Corp   5.000   05/20/49   930,772 
 200,000     Markel Corp   4.150   09/17/50   219,922 
 725,000     Marsh & McLennan Cos, Inc   3.875   03/15/24   802,093 
 2,300,000     Marsh & McLennan Cos, Inc   3.500   03/10/25   2,545,132 
 1,700,000     Marsh & McLennan Cos, Inc   4.375   03/15/29   2,049,375 
 450,000     Marsh & McLennan Cos, Inc   2.250   11/15/30   467,527 
 250,000     Marsh & McLennan Cos, Inc   4.750   03/15/39   320,868 
 100,000     Marsh & McLennan Cos, Inc   4.350   01/30/47   125,243 
 300,000     Marsh & McLennan Cos, Inc   4.200   03/01/48   373,009 
 1,200,000     Marsh & McLennan Cos, Inc   4.900   03/15/49   1,630,709 
 1,000,000     Memorial Sloan-Kettering Cancer Center   2.955   01/01/50   1,078,783 
 200,000     Mercury General Corp   4.400   03/15/27   218,125 
 700,000     MetLife, Inc   3.048   12/15/22   741,113 
 525,000     MetLife, Inc   4.368   09/15/23   585,709 
 700,000     MetLife, Inc   3.600   04/10/24   776,228 
 700,000     MetLife, Inc   3.600   11/13/25   795,591 
 675,000     MetLife, Inc   6.375   06/15/34   1,015,627 
 1,530,000     MetLife, Inc   5.700   06/15/35   2,212,315 
 130,000     MetLife, Inc   5.875   02/06/41   185,099 
 450,000     MetLife, Inc   4.125   08/13/42   535,415 
 750,000     MetLife, Inc   4.875   11/13/43   970,714 
 500,000     MetLife, Inc   4.721   12/15/44   631,524 
 800,000     MetLife, Inc   4.050   03/01/45   940,809 
 1,650,000     MetLife, Inc   4.600   05/13/46   2,098,817 
 200,000     Montpelier Re Holdings Ltd   4.700   10/15/22   211,826 
 20,000     Nationwide Financial Services   6.750   05/15/37   22,242 
 200,000     Old Republic International Corp   4.875   10/01/24   216,301 
 100,000     Old Republic International Corp   3.875   08/26/26   106,895 
 500,000     PartnerRe Finance B LLC   3.700   07/02/29   547,924 
 100,000     Primerica, Inc   4.750   07/15/22   107,586 
 100,000     Principal Financial Group, Inc   3.300   09/15/22   105,347 
 150,000     Principal Financial Group, Inc   3.125   05/15/23   159,161 
 200,000     Principal Financial Group, Inc   3.400   05/15/25   219,379 
 850,000     Principal Financial Group, Inc   3.100   11/15/26   927,147 
 100,000     Principal Financial Group, Inc   3.700   05/15/29   113,749 
 1,000,000     Principal Financial Group, Inc   2.125   06/15/30   1,001,417 
 100,000     Principal Financial Group, Inc   4.625   09/15/42   124,406 
 200,000     Principal Financial Group, Inc   4.350   05/15/43   237,871 
 300,000     Principal Financial Group, Inc   4.300   11/15/46   365,445 
 200,000     Principal Financial Group, Inc   3.436   05/15/55   179,240 
 650,000     Progressive Corp   2.450   01/15/27   693,786 
 250,000     Progressive Corp   4.000   03/01/29   298,957 
 100,000     Progressive Corp   3.200   03/26/30   113,521 
 120,000     Progressive Corp   6.250   12/01/32   170,868 
 300,000     Progressive Corp   4.350   04/25/44   381,330 
 300,000     Progressive Corp   3.700   01/26/45   350,742 
 950,000     Progressive Corp   4.125   04/15/47   1,207,923 
 750,000     Progressive Corp   4.200   03/15/48   972,417 
 100,000     Progressive Corp   3.950   03/26/50   125,727 
55

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$891,000     Prudential Financial, Inc   4.500%  11/16/21  $938,829 
 200,000     Prudential Financial, Inc   1.500   03/10/26   203,946 
 300,000     Prudential Financial, Inc   3.878   03/27/28   346,514 
 500,000     Prudential Financial, Inc   2.100   03/10/30   508,479 
 450,000     Prudential Financial, Inc   5.700   12/14/36   610,850 
 500,000     Prudential Financial, Inc   3.000   03/10/40   509,135 
 600,000     Prudential Financial, Inc   5.200   03/15/44   611,970 
 1,700,000     Prudential Financial, Inc   4.600   05/15/44   2,045,927 
 200,000     Prudential Financial, Inc   5.375   05/15/45   211,120 
 2,300,000     Prudential Financial, Inc   4.500   09/15/47   2,289,926 
 300,000     Prudential Financial, Inc   4.418   03/27/48   360,104 
 2,400,000     Prudential Financial, Inc   5.700   09/15/48   2,689,812 
 799,000     Prudential Financial, Inc   3.935   12/07/49   899,436 
 450,000     Prudential Financial, Inc   4.350   02/25/50   540,092 
 1,000,000     Prudential Financial, Inc   3.700   03/13/51   1,103,364 
 200,000     Prudential plc   3.125   04/14/30   214,810 
 100,000     Reinsurance Group of America, Inc   5.000   06/01/21   104,095 
 250,000     Reinsurance Group of America, Inc   4.700   09/15/23   273,289 
 750,000     Reinsurance Group of America, Inc   3.900   05/15/29   817,081 
 350,000     Reinsurance Group of America, Inc   3.150   06/15/30   360,970 
 200,000     RenaissanceRe Finance, Inc   3.700   04/01/25   213,064 
 200,000     RenaissanceRe Finance, Inc   3.450   07/01/27   211,042 
 300,000     RenaissanceRe Holdings Ltd   3.600   04/15/29   328,885 
 250,000     Torchmark Corp   3.800   09/15/22   262,707 
 350,000     Torchmark Corp   4.550   09/15/28   404,588 
 20,000     Transatlantic Holdings, Inc   8.000   11/30/39   30,733 
 600,000     Travelers Cos, Inc   5.350   11/01/40   840,203 
 200,000     Travelers Cos, Inc   4.600   08/01/43   260,428 
 250,000     Travelers Cos, Inc   4.300   08/25/45   318,015 
 400,000     Travelers Cos, Inc   3.750   05/15/46   469,350 
 1,100,000     Travelers Cos, Inc   4.000   05/30/47   1,353,126 
 500,000     Travelers Cos, Inc   4.050   03/07/48   619,901 
 900,000     Travelers Cos, Inc   4.100   03/04/49   1,130,858 
 100,000     Travelers Cos, Inc   2.550   04/27/50   98,805 
 100,000     Travelers Property Casualty Corp   6.375   03/15/33   147,409 
 110,000     Unum Group   5.625   09/15/20   110,981 
 200,000     Unum Group   4.000   03/15/24   209,894 
 500,000     Unum Group   4.000   06/15/29   517,828 
 300,000     Unum Group   5.750   08/15/42   318,314 
 500,000     Unum Group   4.500   12/15/49   467,115 
 200,000     Voya Financial, Inc   3.125   07/15/24   213,752 
 550,000     Voya Financial, Inc   3.650   06/15/26   609,505 
 200,000     Voya Financial, Inc   5.700   07/15/43   259,740 
 200,000     Voya Financial, Inc   4.800   06/15/46   238,194 
 200,000     Willis Group Holdings plc   5.750   03/15/21   206,388 
 425,000     Willis North America, Inc   3.600   05/15/24   459,972 
 500,000     Willis North America, Inc   4.500   09/15/28   583,257 
 900,000     Willis North America, Inc   2.950   09/15/29   953,505 
 300,000     Willis North America, Inc   5.050   09/15/48   384,002 
 500,000     Willis North America, Inc   3.875   09/15/49   554,184 
 250,000     WR Berkley Corp   4.625   03/15/22   263,432 
 200,000     WR Berkley Corp   4.750   08/01/44   234,423 
 400,000     WR Berkley Corp   4.000   05/12/50   444,693 
 455,000     XLIT Ltd   4.450   03/31/25   512,547 
56

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$200,000     XLIT Ltd   5.250%  12/15/43  $267,991 
 300,000     XLIT Ltd   5.500   03/31/45   401,266 
       TOTAL INSURANCE           145,504,635 
                     
MATERIALS - 0.8%              
 500,000     3M Co   3.000   09/14/21   515,136 
 625,000     3M Co   2.750   03/01/22   647,912 
 500,000     3M Co   1.750   02/14/23   515,770 
 300,000     3M Co   2.250   03/15/23   313,474 
 600,000     3M Co   3.250   02/14/24   654,284 
 1,000,000     3M Co   2.000   02/14/25   1,053,119 
 1,200,000     3M Co   3.000   08/07/25   1,326,823 
 675,000     3M Co   2.875   10/15/27   750,446 
 925,000     3M Co   3.625   09/14/28   1,074,018 
 500,000     3M Co   3.375   03/01/29   575,629 
 1,000,000     3M Co   2.375   08/26/29   1,077,995 
 200,000     3M Co   3.125   09/19/46   216,159 
 300,000     3M Co   3.625   10/15/47   346,977 
 1,150,000     3M Co   4.000   09/14/48   1,424,733 
 875,000     3M Co   3.250   08/26/49   973,092 
 820,000     3M Co   3.700   04/15/50   975,220 
 150,000     Air Products & Chemicals, Inc   3.000   11/03/21   154,754 
 150,000     Air Products & Chemicals, Inc   2.750   02/03/23   157,852 
 300,000     Air Products & Chemicals, Inc   3.350   07/31/24   327,797 
 175,000     Air Products and Chemicals, Inc   1.500   10/15/25   180,966 
 500,000     Air Products and Chemicals, Inc   1.850   05/15/27   523,805 
 125,000     Air Products and Chemicals, Inc   2.050   05/15/30   131,350 
 125,000     Air Products and Chemicals, Inc   2.700   05/15/40   132,763 
 1,250,000     Air Products and Chemicals, Inc   2.800   05/15/50   1,324,757 
 200,000     Airgas, Inc   3.650   07/15/24   219,419 
 200,000     Albemarle Corp   4.150   12/01/24   214,331 
 750,000  g  Albemarle Wodgina Pty Ltd   3.450   11/15/29   726,050 
 300,000     Avery Dennison Corp   4.875   12/06/28   358,356 
 500,000     Avery Dennison Corp   2.650   04/30/30   512,346 
 100,000     Barrick Australian Finance Pty Ltd   5.950   10/15/39   134,205 
 2,250,000     Barrick Gold Corp   5.250   04/01/42   2,948,047 
 500,000     Barrick North America Finance LLC   5.750   05/01/43   699,530 
 100,000     Bemis Co, Inc   3.100   09/15/26   105,577 
 200,000     Bemis Co, Inc   2.630   06/19/30   205,007 
 2,000,000     BHP Billiton Finance USA Ltd   2.875   02/24/22   2,073,536 
 825,000     BHP Billiton Finance USA Ltd   4.125   02/24/42   1,023,084 
 1,925,000     BHP Billiton Finance USA Ltd   5.000   09/30/43   2,659,352 
 600,000     Braskem Finance Ltd   6.450   02/03/24   657,312 
 200,000     Cabot Corp   3.700   07/15/22   208,420 
 500,000     Cabot Corp   4.000   07/01/29   516,545 
 400,000     Celulosa Arauco y Constitucion S.A.   4.500   08/01/24   422,504 
 375,000     Celulosa Arauco y Constitucion S.A.   3.875   11/02/27   382,500 
 200,000     Celulosa Arauco y Constitucion S.A.   5.500   11/02/47   205,500 
 200,000     Domtar Corp   4.400   04/01/22   204,351 
 500,000     Dow Chemical Co   3.150   05/15/24   533,941 
 1,525,000     Dow Chemical Co   3.500   10/01/24   1,646,102 
 200,000     Dow Chemical Co   4.550   11/30/25   228,005 
 750,000     Dow Chemical Co   3.625   05/15/26   825,773 
 300,000     Dow Chemical Co   4.800   11/30/28   359,195 
57

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$175,000     Dow Chemical Co   7.375%  11/01/29  $246,542 
 1,400,000     Dow Chemical Co   4.250   10/01/34   1,561,085 
 225,000     Dow Chemical Co   9.400   05/15/39   373,204 
 275,000     Dow Chemical Co   5.250   11/15/41   329,712 
 1,200,000     Dow Chemical Co   4.375   11/15/42   1,330,835 
 400,000     Dow Chemical Co   4.625   10/01/44   460,591 
 825,000     Dow Chemical Co   5.550   11/30/48   1,081,879 
 750,000     Dow Chemical Co   4.800   05/15/49   892,711 
 1,550,000     DowDuPont, Inc   4.205   11/15/23   1,701,043 
 1,600,000     DowDuPont, Inc   4.493   11/15/25   1,841,927 
 2,300,000     DowDuPont, Inc   4.725   11/15/28   2,765,405 
 150,000     DowDuPont, Inc   5.319   11/15/38   189,309 
 2,325,000     DowDuPont, Inc   5.419   11/15/48   3,083,388 
 550,000     DuPont de Nemours, Inc   2.169   05/01/23   560,312 
 100,000     Eastman Chemical Co   3.500   12/01/21   103,208 
 272,000     Eastman Chemical Co   3.600   08/15/22   283,963 
 727,000     Eastman Chemical Co   3.800   03/15/25   789,293 
 700,000     Eastman Chemical Co   4.500   12/01/28   804,100 
 150,000     Eastman Chemical Co   4.800   09/01/42   174,529 
 525,000     Eastman Chemical Co   4.650   10/15/44   603,629 
 486,000     Ecolab, Inc   4.350   12/08/21   513,804 
 300,000     Ecolab, Inc   2.375   08/10/22   311,836 
 200,000     Ecolab, Inc   3.250   01/14/23   212,382 
 750,000     Ecolab, Inc   2.700   11/01/26   832,554 
 300,000     Ecolab, Inc   3.250   12/01/27   340,094 
 575,000     Ecolab, Inc   4.800   03/24/30   728,998 
 14,000     Ecolab, Inc   5.500   12/08/41   19,775 
 710,000     Ecolab, Inc   3.950   12/01/47   886,698 
 350,000     EI du Pont de Nemours and Co   1.700   07/15/25   361,361 
 175,000     EI du Pont de Nemours and Co   2.300   07/15/30   182,033 
 500,000     Fibria Overseas Finance Ltd   4.000   01/14/25   514,505 
 700,000     Fibria Overseas Finance Ltd   5.500   01/17/27   754,257 
 100,000     FMC Corp   3.950   02/01/22   103,722 
 200,000     FMC Corp   4.100   02/01/24   215,889 
 500,000     FMC Corp   3.200   10/01/26   539,742 
 500,000     FMC Corp   3.450   10/01/29   542,046 
 500,000     FMC Corp   4.500   10/01/49   593,731 
 300,000     Georgia-Pacific LLC   8.000   01/15/24   374,856 
 750,000     Georgia-Pacific LLC   7.750   11/15/29   1,119,231 
 600,000     Huntsman International LLC   4.500   05/01/29   631,694 
 100,000     International Flavors & Fragrances, Inc   3.400   09/25/20   100,500 
 300,000     International Flavors & Fragrances, Inc   3.200   05/01/23   311,800 
 100,000     International Flavors & Fragrances, Inc   4.450   09/26/28   113,776 
 200,000     International Flavors & Fragrances, Inc   4.375   06/01/47   214,167 
 675,000     International Flavors & Fragrances, Inc   5.000   09/26/48   787,222 
 1,175,000     International Paper Co   3.650   06/15/24   1,292,675 
 1,875,000     International Paper Co   3.000   02/15/27   2,012,536 
 450,000     International Paper Co   6.000   11/15/41   592,495 
 525,000     International Paper Co   4.800   06/15/44   625,937 
 300,000     International Paper Co   4.400   08/15/47   350,634 
 2,425,000     International Paper Co   4.350   08/15/48   2,860,121 
 1,000,000     Kinross Gold Corp   4.500   07/15/27   1,091,896 
 150,000     Lubrizol Corp   6.500   10/01/34   235,916 
 300,000     LYB International Finance BV   4.000   07/15/23   325,212 
58

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,000,000     LYB International Finance BV   3.500%  03/02/27  $1,090,739 
 575,000     LYB International Finance BV   5.250   07/15/43   692,167 
 550,000     LYB International Finance BV   4.875   03/15/44   648,759 
 500,000     LYB International Finance III LLC   2.875   05/01/25   532,456 
 500,000     LYB International Finance III LLC   3.375   05/01/30   535,241 
 1,000,000     LYB International Finance III LLC   4.200   10/15/49   1,080,393 
 750,000     LYB International Finance III LLC   4.200   05/01/50   807,732 
 300,000     LyondellBasell Industries NV   6.000   11/15/21   316,722 
 1,300,000     LyondellBasell Industries NV   5.750   04/15/24   1,498,420 
 475,000     LyondellBasell Industries NV   4.625   02/26/55   530,926 
 200,000     Martin Marietta Materials, Inc   4.250   07/02/24   217,932 
 200,000     Martin Marietta Materials, Inc   3.450   06/01/27   215,201 
 325,000     Martin Marietta Materials, Inc   3.500   12/15/27   357,820 
 250,000     Martin Marietta Materials, Inc   2.500   03/15/30   251,885 
 450,000     Martin Marietta Materials, Inc   4.250   12/15/47   494,278 
 200,000     Mosaic Co   3.250   11/15/22   204,720 
 100,000     Mosaic Co   4.875   11/15/41   98,277 
 100,000     NewMarket Corp   4.100   12/15/22   106,319 
 250,000     Newmont Corp   2.250   10/01/30   253,301 
 33,000     Newmont Goldcorp Corp   3.700   03/15/23   34,177 
 1,300,000     Newmont Goldcorp Corp   2.800   10/01/29   1,370,693 
 298,000     Newmont Goldcorp Corp   5.875   04/01/35   414,690 
 235,000     Newmont Goldcorp Corp   6.250   10/01/39   332,868 
 975,000     Newmont Goldcorp Corp   4.875   03/15/42   1,252,541 
 300,000     Newmont Goldcorp Corp   5.450   06/09/44   397,875 
 800,000     Nucor Corp   4.125   09/15/22   851,559 
 275,000     Nucor Corp   2.000   06/01/25   285,513 
 425,000     Nucor Corp   3.950   05/01/28   487,751 
 150,000     Nucor Corp   2.700   06/01/30   157,340 
 300,000     Nucor Corp   5.200   08/01/43   384,247 
 700,000     Nucor Corp   4.400   05/01/48   848,131 
 150,000     Nutrien Ltd   3.150   10/01/22   155,476 
 500,000     Nutrien Ltd   1.900   05/13/23   515,977 
 200,000     Nutrien Ltd   3.500   06/01/23   212,007 
 625,000     Nutrien Ltd   3.625   03/15/24   675,408 
 425,000     Nutrien Ltd   3.375   03/15/25   463,274 
 200,000     Nutrien Ltd   3.000   04/01/25   214,289 
 700,000     Nutrien Ltd   4.000   12/15/26   791,467 
 550,000     Nutrien Ltd   4.200   04/01/29   638,122 
 500,000     Nutrien Ltd   2.950   05/13/30   529,827 
 200,000     Nutrien Ltd   4.125   03/15/35   224,455 
 200,000     Nutrien Ltd   5.625   12/01/40   244,617 
 100,000     Nutrien Ltd   6.125   01/15/41   128,476 
 200,000     Nutrien Ltd   4.900   06/01/43   236,357 
 725,000     Nutrien Ltd   5.250   01/15/45   895,818 
 1,050,000     Nutrien Ltd   5.000   04/01/49   1,352,218 
 300,000     Nutrien Ltd   3.950   05/13/50   330,988 
 500,000     Owens Corning   4.200   12/01/24   550,279 
 300,000     Owens Corning   3.400   08/15/26   313,106 
 500,000     Owens Corning   3.950   08/15/29   544,895 
 300,000     Owens Corning   3.875   06/01/30   320,247 
 525,000     Owens Corning   4.300   07/15/47   533,193 
 350,000     Owens Corning   4.400   01/30/48   364,173 
 250,000     Packaging Corp of America   4.500   11/01/23   275,168 
59

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$100,000     Packaging Corp of America   3.650%  09/15/24  $109,086 
 550,000     Packaging Corp of America   3.400   12/15/27   605,802 
 100,000     Packaging Corp of America   3.000   12/15/29   108,260 
 500,000     Packaging Corp of America   4.050   12/15/49   596,483 
 300,000     PPG Industries, Inc   3.200   03/15/23   317,770 
 500,000     PPG Industries, Inc   2.400   08/15/24   529,862 
 425,000     PPG Industries, Inc   3.750   03/15/28   490,976 
 500,000     PPG Industries, Inc   2.550   06/15/30   516,843 
 250,000     Praxair, Inc   2.200   08/15/22   258,591 
 300,000     Praxair, Inc   2.650   02/05/25   319,768 
 1,000,000     Praxair, Inc   3.200   01/30/26   1,110,597 
 625,000     Praxair, Inc   3.550   11/07/42   698,717 
 300,000     Reliance Steel & Aluminum Co   4.500   04/15/23   322,224 
 414,000     Rio Tinto Alcan, Inc   6.125   12/15/33   598,452 
 3,250,000     Rio Tinto Finance USA Ltd   3.750   06/15/25   3,682,062 
 350,000     Rio Tinto Finance USA Ltd   5.200   11/02/40   495,447 
 1,400,000     Rio Tinto Finance USA plc   4.125   08/21/42   1,753,795 
 200,000     Rohm & Haas Co   7.850   07/15/29   282,902 
 300,000     RPM International, Inc   3.450   11/15/22   309,652 
 100,000     RPM International, Inc   3.750   03/15/27   105,664 
 300,000     RPM International, Inc   4.550   03/01/29   337,259 
 100,000     RPM International, Inc   5.250   06/01/45   112,484 
 200,000     RPM International, Inc   4.250   01/15/48   196,749 
 225,000     Sherwin-Williams Co   4.200   01/15/22   233,873 
 27,000     Sherwin-Williams Co   2.750   06/01/22   27,850 
 200,000     Sherwin-Williams Co   3.450   08/01/25   220,562 
 200,000     Sherwin-Williams Co   3.950   01/15/26   225,583 
 925,000     Sherwin-Williams Co   3.450   06/01/27   1,034,510 
 500,000     Sherwin-Williams Co   2.950   08/15/29   537,399 
 500,000     Sherwin-Williams Co   2.300   05/15/30   509,796 
 200,000     Sherwin-Williams Co   4.000   12/15/42   213,912 
 900,000     Sherwin-Williams Co   4.500   06/01/47   1,095,126 
 900,000     Sherwin-Williams Co   3.800   08/15/49   980,862 
 500,000     Sherwin-Williams Co   3.300   05/15/50   506,321 
 750,000     Sonoco Products Co   3.125   05/01/30   782,700 
 150,000     Sonoco Products Co   5.750   11/01/40   183,833 
 300,000     Southern Copper Corp   3.875   04/23/25   325,064 
 100,000     Southern Copper Corp   7.500   07/27/35   139,792 
 1,180,000     Southern Copper Corp   6.750   04/16/40   1,597,649 
 1,500,000     Southern Copper Corp   5.875   04/23/45   1,936,209 
 250,000     Steel Dynamics, Inc   2.800   12/15/24   260,179 
 100,000     Steel Dynamics, Inc   2.400   06/15/25   102,994 
 750,000     Steel Dynamics, Inc   3.450   04/15/30   783,846 
 100,000     Steel Dynamics, Inc   3.250   01/15/31   101,628 
 1,900,000     Suzano Austria GmbH   6.000   01/15/29   2,049,644 
 1,675,000     Teck Resources Ltd   6.250   07/15/41   1,830,312 
 750,000     Vulcan Materials Co   4.500   04/01/25   832,324 
 100,000     Vulcan Materials Co   3.900   04/01/27   109,371 
 275,000     Vulcan Materials Co   3.500   06/01/30   298,629 
 475,000     Vulcan Materials Co   4.500   06/15/47   530,014 
 200,000     Vulcan Materials Co   4.700   03/01/48   230,488 
 500,000     Westlake Chemical Corp   3.600   08/15/26   529,009 
 1,000,000     Westlake Chemical Corp   3.375   06/15/30   1,022,190 
 500,000     Westlake Chemical Corp   5.000   08/15/46   530,550 
60

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$200,000     Westlake Chemical Corp   4.375%  11/15/47  $197,575 
 500,000     WestRock RKT LLC   4.900   03/01/22   532,054 
 500,000     WestRock RKT LLC   4.000   03/01/23   533,448 
 250,000     WRKCo, Inc   3.000   09/15/24   265,823 
 425,000     WRKCo, Inc   3.750   03/15/25   471,069 
 525,000     WRKCo, Inc   4.650   03/15/26   610,435 
 300,000     WRKCo, Inc   3.375   09/15/27   322,157 
 325,000     WRKCo, Inc   4.000   03/15/28   363,153 
 240,000     WRKCo, Inc   3.900   06/01/28   265,499 
 950,000     WRKCo, Inc   4.900   03/15/29   1,133,645 
 685,000     WRKCo, Inc   4.200   06/01/32   797,991 
 400,000     WRKCo, Inc   3.000   06/15/33   417,556 
 171,000     Yamana Gold, Inc   4.625   12/15/27   180,095 
       TOTAL MATERIALS           140,287,253 
                     
MEDIA & ENTERTAINMENT - 1.2%            
 875,000     Alphabet, Inc   3.375   02/25/24   964,014 
 1,250,000     Alphabet, Inc   1.998   08/15/26   1,342,444 
 1,135,000     Charter Communications Operating LLC   4.464   07/23/22   1,210,112 
 225,000     Charter Communications Operating LLC   4.500   02/01/24   248,943 
 3,650,000     Charter Communications Operating LLC   4.908   07/23/25   4,185,570 
 950,000     Charter Communications Operating LLC   3.750   02/15/28   1,035,414 
 2,750,000     Charter Communications Operating LLC   4.200   03/15/28   3,082,779 
 1,000,000     Charter Communications Operating LLC   2.800   04/01/31   1,013,230 
 750,000     Charter Communications Operating LLC   6.384   10/23/35   989,364 
 1,500,000     Charter Communications Operating LLC   5.375   04/01/38   1,826,507 
 1,550,000     Charter Communications Operating LLC   6.484   10/23/45   2,059,396 
 1,400,000     Charter Communications Operating LLC   5.375   05/01/47   1,652,554 
 1,375,000     Charter Communications Operating LLC   5.750   04/01/48   1,711,050 
 1,600,000     Charter Communications Operating LLC   5.125   07/01/49   1,847,154 
 2,500,000     Charter Communications Operating LLC   4.800   03/01/50   2,833,513 
 1,000,000     Charter Communications Operating LLC   3.700   04/01/51   972,758 
 250,000     Comcast Cable Communications Holdings, Inc   9.455   11/15/22   304,202 
 1,600,000     Comcast Corp   3.125   07/15/22   1,688,315 
 1,000,000     Comcast Corp   2.850   01/15/23   1,067,907 
 850,000     Comcast Corp   2.750   03/01/23   903,590 
 850,000     Comcast Corp   3.000   02/01/24   914,099 
 325,000     Comcast Corp   3.600   03/01/24   360,980 
 2,025,000     Comcast Corp   3.700   04/15/24   2,247,194 
 850,000     Comcast Corp   3.375   02/15/25   949,647 
 350,000     Comcast Corp   3.375   08/15/25   389,707 
 1,550,000     Comcast Corp   3.950   10/15/25   1,776,219 
 1,950,000     Comcast Corp   3.150   03/01/26   2,181,938 
 1,025,000     Comcast Corp   2.350   01/15/27   1,095,200 
 1,450,000     Comcast Corp   3.300   02/01/27   1,625,710 
 900,000     Comcast Corp   3.150   02/15/28   1,004,844 
 2,675,000     Comcast Corp   4.150   10/15/28   3,218,141 
 3,300,000     Comcast Corp   4.250   10/15/30   4,040,309 
 1,950,000     Comcast Corp   1.950   01/15/31   1,986,015 
 1,925,000     Comcast Corp   4.250   01/15/33   2,363,296 
 150,000     Comcast Corp   7.050   03/15/33   229,085 
 200,000     Comcast Corp   4.200   08/15/34   243,315 
 500,000     Comcast Corp   4.400   08/15/35   619,928 
 175,000     Comcast Corp   6.500   11/15/35   266,097 
61

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$3,475,000     Comcast Corp   3.200%  07/15/36  $3,862,647 
 175,000     Comcast Corp   6.950   08/15/37   272,187 
 3,150,000     Comcast Corp   3.900   03/01/38   3,739,223 
 1,425,000     Comcast Corp   4.600   10/15/38   1,814,720 
 1,000,000     Comcast Corp   3.250   11/01/39   1,109,432 
 3,800,000     Comcast Corp   3.750   04/01/40   4,469,791 
 150,000     Comcast Corp   4.650   07/15/42   193,146 
 175,000     Comcast Corp   4.750   03/01/44   233,922 
 1,125,000     Comcast Corp   4.600   08/15/45   1,445,711 
 1,275,000     Comcast Corp   3.400   07/15/46   1,412,800 
 631,000     Comcast Corp   3.969   11/01/47   762,062 
 1,500,000     Comcast Corp   4.000   03/01/48   1,841,694 
 2,625,000     Comcast Corp   4.700   10/15/48   3,522,884 
 1,407,000     Comcast Corp   3.999   11/01/49   1,698,409 
 2,525,000     Comcast Corp   3.450   02/01/50   2,861,917 
 425,000     Comcast Corp   2.800   01/15/51   434,358 
 3,600,000     Comcast Corp   4.950   10/15/58   5,117,726 
 485,000     Cottage Health Obligated Group   3.304   11/01/49   531,172 
 750,000     DH Europe Finance II Sarl   2.050   11/15/22   774,614 
 750,000     DH Europe Finance II Sarl   2.200   11/15/24   788,257 
 300,000     DH Europe Finance II Sarl   2.600   11/15/29   319,189 
 550,000     DH Europe Finance II Sarl   3.250   11/15/39   607,377 
 1,000,000     DH Europe Finance II Sarl   3.400   11/15/49   1,122,925 
 237,000     Discovery Communications LLC   2.950   03/20/23   248,989 
 300,000     Discovery Communications LLC   3.800   03/13/24   321,505 
 200,000     Discovery Communications LLC   3.900   11/15/24   218,856 
 350,000     Discovery Communications LLC   3.450   03/15/25   382,001 
 200,000     Discovery Communications LLC   3.950   06/15/25   220,598 
 500,000     Discovery Communications LLC   4.900   03/11/26   575,324 
 2,275,000     Discovery Communications LLC   3.950   03/20/28   2,541,718 
 1,000,000     Discovery Communications LLC   4.125   05/15/29   1,141,540 
 250,000     Discovery Communications LLC   3.625   05/15/30   273,427 
 225,000     Discovery Communications LLC   5.000   09/20/37   266,230 
 100,000     Discovery Communications LLC   6.350   06/01/40   134,557 
 100,000     Discovery Communications LLC   4.950   05/15/42   113,752 
 125,000     Discovery Communications LLC   4.875   04/01/43   142,543 
 1,400,000     Discovery Communications LLC   5.200   09/20/47   1,628,194 
 1,400,000     Discovery Communications LLC   5.300   05/15/49   1,707,674 
 500,000     Discovery Communications LLC   4.650   05/15/50   567,025 
 150,000     Fox Corp   3.666   01/25/22   157,012 
 500,000     Fox Corp   4.030   01/25/24   554,226 
 500,000     Fox Corp   3.050   04/07/25   541,055 
 2,250,000     Fox Corp   4.709   01/25/29   2,702,284 
 500,000     Fox Corp   3.500   04/08/30   558,215 
 1,500,000     Fox Corp   5.476   01/25/39   2,004,949 
 650,000     Fox Corp   5.576   01/25/49   914,480 
 500,000  g  GE Capital Funding LLC   3.450   05/15/25   523,847 
 500,000  g  GE Capital Funding LLC   4.050   05/15/27   527,762 
 3,500,000  g  GE Capital Funding LLC   4.400   05/15/30   3,639,252 
 3,000,000  g  GE Capital Funding LLC   4.550   05/15/32   3,096,612 
 550,000     Grupo Televisa SAB   6.625   03/18/25   646,871 
 200,000     Grupo Televisa SAB   4.625   01/30/26   218,320 
 1,100,000     Grupo Televisa SAB   5.000   05/13/45   1,209,692 
 700,000     Grupo Televisa SAB   6.125   01/31/46   891,498 
62

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$500,000     Grupo Televisa SAB   5.250%  05/24/49  $578,707 
 450,000     Interpublic Group of Cos, Inc   3.500   10/01/20   452,981 
 450,000     Interpublic Group of Cos, Inc   3.750   10/01/21   466,558 
 100,000     Interpublic Group of Cos, Inc   4.000   03/15/22   104,276 
 200,000     Interpublic Group of Cos, Inc   4.200   04/15/24   218,336 
 350,000     Interpublic Group of Cos, Inc   4.650   10/01/28   406,753 
 500,000     Interpublic Group of Cos, Inc   4.750   03/30/30   589,422 
 400,000     Interpublic Group of Cos, Inc   5.400   10/01/48   440,801 
 445,000     Iowa Health System   3.665   02/15/50   488,547 
 135,000     MedStar Health, Inc   3.626   08/15/49   144,348 
 275,000     NBC Universal Media LLC   2.875   01/15/23   293,666 
 1,425,000     NBC Universal Media LLC   4.450   01/15/43   1,789,275 
 700,000     Omnicom Group, Inc   3.625   05/01/22   738,266 
 425,000     Omnicom Group, Inc   3.650   11/01/24   467,711 
 1,050,000     Omnicom Group, Inc   3.600   04/15/26   1,171,697 
 750,000     Omnicom Group, Inc   2.450   04/30/30   765,055 
 325,000     Omnicom Group, Inc   4.200   06/01/30   377,873 
 500,000     Spectrum Health System Obligated Group   3.487   07/15/49   550,829 
 2,000,000     Time Warner Cable LLC   4.000   09/01/21   2,053,257 
 1,075,000     Time Warner Cable LLC   6.550   05/01/37   1,413,831 
 400,000     Time Warner Cable LLC   7.300   07/01/38   553,849 
 500,000     Time Warner Cable LLC   6.750   06/15/39   664,215 
 890,000     Time Warner Cable LLC   5.875   11/15/40   1,096,124 
 475,000     Time Warner Cable LLC   5.500   09/01/41   571,301 
 2,875,000     Time Warner Cable LLC   4.500   09/15/42   3,087,697 
 325,000     Time Warner Entertainment Co LP   8.375   03/15/23   380,838 
 300,000     Time Warner Entertainment Co LP   8.375   07/15/33   451,724 
 200,000     Toledo Hospital   5.325   11/15/28   214,112 
 450,000     Toledo Hospital   5.750   11/15/38   525,526 
 200,000     Toledo Hospital   6.015   11/15/48   225,006 
 375,000  g  Upjohn, Inc   1.125   06/22/22   377,013 
 1,000,000  g  Upjohn, Inc   1.650   06/22/25   1,019,455 
 400,000  g  Upjohn, Inc   2.300   06/22/27   412,948 
 375,000  g  Upjohn, Inc   2.700   06/22/30   385,279 
 600,000  g  Upjohn, Inc   3.850   06/22/40   643,488 
 950,000  g  Upjohn, Inc   4.000   06/22/50   1,016,814 
 2,248,000     ViacomCBS, Inc   3.875   04/01/24   2,418,905 
 200,000     ViacomCBS, Inc   3.700   08/15/24   217,272 
 300,000     ViacomCBS, Inc   3.500   01/15/25   326,928 
 800,000     ViacomCBS, Inc   4.000   01/15/26   895,601 
 650,000     ViacomCBS, Inc   2.900   01/15/27   682,218 
 200,000     ViacomCBS, Inc   3.375   02/15/28   212,498 
 1,300,000     ViacomCBS, Inc   3.700   06/01/28   1,413,561 
 500,000     ViacomCBS, Inc   4.200   06/01/29   560,236 
 500,000     ViacomCBS, Inc   7.875   07/30/30   722,181 
 500,000     ViacomCBS, Inc   4.950   01/15/31   584,705 
 1,500,000     ViacomCBS, Inc   4.200   05/19/32   1,664,131 
 150,000     ViacomCBS, Inc   6.875   04/30/36   202,967 
 200,000     ViacomCBS, Inc   4.850   07/01/42   212,374 
 2,179,000     ViacomCBS, Inc   4.375   03/15/43   2,277,801 
 625,000     ViacomCBS, Inc   5.850   09/01/43   738,906 
 200,000     ViacomCBS, Inc   4.900   08/15/44   217,123 
 800,000     ViacomCBS, Inc   4.600   01/15/45   846,693 
 1,000,000     ViacomCBS, Inc   4.950   05/19/50   1,113,398 
63

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$850,000     Walt Disney Co   2.550%  02/15/22  $876,636 
 100,000     Walt Disney Co   2.450   03/04/22   103,105 
 750,000     Walt Disney Co   1.750   08/30/24   777,330 
 875,000     Walt Disney Co   3.150   09/17/25   966,640 
 700,000     Walt Disney Co   3.700   10/15/25   790,570 
 3,000,000     Walt Disney Co   1.750   01/13/26   3,086,541 
 500,000     Walt Disney Co   3.000   02/13/26   551,279 
 475,000     Walt Disney Co   1.850   07/30/26   490,471 
 1,500,000     Walt Disney Co   2.950   06/15/27   1,645,177 
 3,000,000     Walt Disney Co   2.200   01/13/28   3,131,040 
 425,000     Walt Disney Co   2.000   09/01/29   436,863 
 500,000     Walt Disney Co   3.800   03/22/30   583,774 
 1,000,000     Walt Disney Co   2.650   01/13/31   1,059,754 
 229,000     Walt Disney Co   6.400   12/15/35   343,677 
 325,000     Walt Disney Co   6.650   11/15/37   486,798 
 1,000,000     Walt Disney Co   3.500   05/13/40   1,089,652 
 1,425,000     Walt Disney Co   6.150   02/15/41   2,078,376 
 100,000     Walt Disney Co   4.375   08/16/41   121,225 
 200,000     Walt Disney Co   3.700   12/01/42   222,380 
 225,000     Walt Disney Co   5.400   10/01/43   305,410 
 1,275,000     Walt Disney Co   4.125   06/01/44   1,538,949 
 500,000     Walt Disney Co   4.750   09/15/44   640,101 
 300,000     Walt Disney Co   4.950   10/15/45   385,899 
 100,000     Walt Disney Co   3.000   07/30/46   101,787 
 700,000     Walt Disney Co   4.750   11/15/46   909,097 
 1,600,000     Walt Disney Co   2.750   09/01/49   1,561,069 
 3,625,000     Walt Disney Co   4.700   03/23/50   4,727,136 
 2,000,000     Walt Disney Co   3.600   01/13/51   2,223,875 
 1,000,000     Walt Disney Co   3.800   05/13/60   1,145,133 
 375,000     Weibo Corp   3.500   07/05/24   387,776 
 300,000     WPP Finance 2010   3.625   09/07/22   311,886 
 1,500,000     WPP Finance 2010   3.750   09/19/24   1,618,074 
       TOTAL MEDIA & ENTERTAINMENT           199,199,267 
                     
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 1.6%             
 175,000     Abbott Laboratories   2.550   03/15/22   181,524 
 200,000     Abbott Laboratories   3.400   11/30/23   218,204 
 275,000     Abbott Laboratories   2.950   03/15/25   302,568 
 1,708,000     Abbott Laboratories   3.750   11/30/26   1,987,213 
 625,000     Abbott Laboratories   1.150   01/30/28   624,414 
 200,000     Abbott Laboratories   1.400   06/30/30   197,935 
 2,750,000     Abbott Laboratories   4.750   11/30/36   3,699,056 
 3,450,000     Abbott Laboratories   4.900   11/30/46   4,952,636 
 1,200,000     AbbVie, Inc   3.375   11/14/21   1,242,253 
 3,000,000  g  AbbVie, Inc   2.150   11/19/21   3,055,676 
 3,500,000  g  AbbVie, Inc   3.450   03/15/22   3,636,193 
 175,000  g  AbbVie, Inc   3.250   10/01/22   183,077 
 625,000     AbbVie, Inc   2.900   11/06/22   655,706 
 2,275,000     AbbVie, Inc   3.200   11/06/22   2,389,459 
 850,000     AbbVie, Inc   2.850   05/14/23   896,501 
 1,850,000     AbbVie, Inc   3.750   11/14/23   2,010,808 
 2,350,000  g  AbbVie, Inc   3.800   03/15/25   2,620,337 
 1,575,000     AbbVie, Inc   3.600   05/14/25   1,748,819 
64

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$4,150,000     AbbVie, Inc   3.200%  05/14/26  $4,616,577 
 1,000,000  g  AbbVie, Inc   2.950   11/21/26   1,094,216 
 675,000     AbbVie, Inc   4.250   11/14/28   796,581 
 3,750,000  g  AbbVie, Inc   3.200   11/21/29   4,170,370 
 2,250,000  g  AbbVie, Inc   4.550   03/15/35   2,770,685 
 1,925,000     AbbVie, Inc   4.500   05/14/35   2,374,104 
 675,000     AbbVie, Inc   4.300   05/14/36   798,640 
 3,300,000  g  AbbVie, Inc   4.050   11/21/39   3,827,363 
 2,175,000     AbbVie, Inc   4.400   11/06/42   2,622,267 
 125,000  g  AbbVie, Inc   4.850   06/15/44   155,839 
 1,310,000  g  AbbVie, Inc   4.750   03/15/45   1,621,499 
 925,000     AbbVie, Inc   4.700   05/14/45   1,158,447 
 1,350,000     AbbVie, Inc   4.450   05/14/46   1,638,594 
 1,150,000     AbbVie, Inc   4.875   11/14/48   1,471,237 
 4,975,000  g  AbbVie, Inc   4.250   11/21/49   5,963,591 
 100,000     Agilent Technologies, Inc   3.200   10/01/22   104,521 
 400,000     Agilent Technologies, Inc   3.875   07/15/23   432,167 
 200,000     Agilent Technologies, Inc   3.050   09/22/26   219,134 
 500,000     Agilent Technologies, Inc   2.750   09/15/29   543,325 
 1,000,000     Agilent Technologies, Inc   2.100   06/04/30   1,025,301 
 1,175,000     Amgen, Inc   3.625   05/15/22   1,229,494 
 2,475,000     Amgen, Inc   2.250   08/19/23   2,594,949 
 950,000     Amgen, Inc   3.625   05/22/24   1,041,797 
 775,000     Amgen, Inc   3.125   05/01/25   850,776 
 1,225,000     Amgen, Inc   2.600   08/19/26   1,334,263 
 1,250,000     Amgen, Inc   2.200   02/21/27   1,318,087 
 775,000     Amgen, Inc   3.200   11/02/27   873,205 
 1,000,000     Amgen, Inc   2.450   02/21/30   1,057,083 
 500,000     Amgen, Inc   2.300   02/25/31   523,108 
 1,325,000     Amgen, Inc   3.150   02/21/40   1,408,413 
 250,000     Amgen, Inc   5.150   11/15/41   331,866 
 2,675,000     Amgen, Inc   4.400   05/01/45   3,318,797 
 2,128,000     Amgen, Inc   4.563   06/15/48   2,778,382 
 1,575,000     Amgen, Inc   3.375   02/21/50   1,724,488 
 2,447,000     Amgen, Inc   4.663   06/15/51   3,245,109 
 725,000     AstraZeneca plc   2.375   06/12/22   750,735 
 475,000     AstraZeneca plc   3.500   08/17/23   513,621 
 350,000     AstraZeneca plc   3.375   11/16/25   393,429 
 950,000     AstraZeneca plc   3.125   06/12/27   1,057,872 
 1,700,000     AstraZeneca plc   4.000   01/17/29   2,082,197 
 1,900,000     AstraZeneca plc   6.450   09/15/37   2,870,100 
 625,000     AstraZeneca plc   4.000   09/18/42   760,871 
 500,000     AstraZeneca plc   4.375   11/16/45   650,066 
 750,000     AstraZeneca plc   4.375   08/17/48   987,968 
 449,000     Baxalta, Inc   4.000   06/23/25   508,283 
 149,000     Baxalta, Inc   5.250   06/23/45   202,093 
 650,000     Biogen, Inc   3.625   09/15/22   690,623 
 875,000     Biogen, Inc   4.050   09/15/25   1,002,473 
 300,000     Biogen, Inc   2.250   05/01/30   302,744 
 1,200,000     Biogen, Inc   5.200   09/15/45   1,575,155 
 1,375,000     Biogen, Inc   3.150   05/01/50   1,323,818 
 425,000  g  Bristol-Myers Squibb Co   2.875   08/15/20   426,232 
 200,000  g  Bristol-Myers Squibb Co   2.250   08/15/21   203,900 
 2,000,000  g  Bristol-Myers Squibb Co   2.600   05/16/22   2,079,420 
65

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$200,000     Bristol-Myers Squibb Co   2.000%  08/01/22  $205,691 
 550,000  g  Bristol-Myers Squibb Co   3.250   08/15/22   580,885 
 600,000  g  Bristol-Myers Squibb Co   2.750   02/15/23   632,625 
 1,750,000  g  Bristol-Myers Squibb Co   3.250   02/20/23   1,862,332 
 200,000     Bristol-Myers Squibb Co   3.250   11/01/23   217,574 
 275,000  g  Bristol-Myers Squibb Co   3.625   05/15/24   302,851 
 3,450,000  g  Bristol-Myers Squibb Co   2.900   07/26/24   3,732,167 
 600,000  g  Bristol-Myers Squibb Co   3.875   08/15/25   682,551 
 500,000     Bristol-Myers Squibb Co   3.250   02/27/27   573,780 
 1,275,000  g  Bristol-Myers Squibb Co   3.900   02/20/28   1,500,155 
 2,025,000  g  Bristol-Myers Squibb Co   3.400   07/26/29   2,360,096 
 700,000  g  Bristol-Myers Squibb Co   4.125   06/15/39   893,919 
 650,000     Bristol-Myers Squibb Co   3.250   08/01/42   732,124 
 300,000  g  Bristol-Myers Squibb Co   5.250   08/15/43   443,355 
 200,000     Bristol-Myers Squibb Co   4.500   03/01/44   272,891 
 2,200,000  g  Bristol-Myers Squibb Co   5.000   08/15/45   3,100,924 
 500,000  g  Bristol-Myers Squibb Co   4.350   11/15/47   664,107 
 2,300,000  g  Bristol-Myers Squibb Co   4.550   02/20/48   3,140,232 
 2,400,000  g  Bristol-Myers Squibb Co   4.250   10/26/49   3,186,563 
 175,000     Eli Lilly & Co   2.350   05/15/22   181,728 
 975,000     Eli Lilly & Co   2.750   06/01/25   1,072,445 
 950,000     Eli Lilly & Co   3.100   05/15/27   1,067,067 
 650,000     Eli Lilly & Co   3.875   03/15/39   796,362 
 550,000     Eli Lilly & Co   3.700   03/01/45   675,826 
 1,025,000     Eli Lilly & Co   3.950   03/15/49   1,313,222 
 1,000,000     Eli Lilly & Co   2.250   05/15/50   958,744 
 875,000     Eli Lilly & Co   4.150   03/15/59   1,148,218 
 1,150,000     Gilead Sciences, Inc   4.400   12/01/21   1,203,049 
 200,000     Gilead Sciences, Inc   1.950   03/01/22   204,874 
 700,000     Gilead Sciences, Inc   3.250   09/01/22   739,422 
 500,000     Gilead Sciences, Inc   2.500   09/01/23   528,804 
 800,000     Gilead Sciences, Inc   3.700   04/01/24   884,390 
 575,000     Gilead Sciences, Inc   3.500   02/01/25   640,127 
 1,125,000     Gilead Sciences, Inc   3.650   03/01/26   1,287,498 
 525,000     Gilead Sciences, Inc   2.950   03/01/27   585,795 
 450,000     Gilead Sciences, Inc   4.600   09/01/35   587,187 
 1,300,000     Gilead Sciences, Inc   4.000   09/01/36   1,613,625 
 250,000     Gilead Sciences, Inc   5.650   12/01/41   361,933 
 1,025,000     Gilead Sciences, Inc   4.800   04/01/44   1,370,237 
 950,000     Gilead Sciences, Inc   4.500   02/01/45   1,236,315 
 925,000     Gilead Sciences, Inc   4.750   03/01/46   1,249,516 
 3,625,000     Gilead Sciences, Inc   4.150   03/01/47   4,615,459 
 1,193,000     GlaxoSmithKline Capital plc   2.850   05/08/22   1,244,541 
 500,000     GlaxoSmithKline Capital plc   2.875   06/01/22   522,558 
 1,400,000     GlaxoSmithKline Capital plc   3.375   06/01/29   1,609,574 
 900,000     GlaxoSmithKline Capital, Inc   2.800   03/18/23   953,004 
 950,000     GlaxoSmithKline Capital, Inc   3.625   05/15/25   1,072,179 
 925,000     GlaxoSmithKline Capital, Inc   3.875   05/15/28   1,087,933 
 350,000     GlaxoSmithKline Capital, Inc   5.375   04/15/34   478,176 
 1,243,000     GlaxoSmithKline Capital, Inc   6.375   05/15/38   1,890,392 
 850,000     GlaxoSmithKline Capital, Inc   4.200   03/18/43   1,063,924 
 200,000     Johnson & Johnson   2.450   12/05/21   205,811 
 300,000     Johnson & Johnson   2.050   03/01/23   312,443 
 950,000     Johnson & Johnson   3.375   12/05/23   1,050,274 
66

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$1,000,000     Johnson & Johnson   2.450%  03/01/26  $1,094,874 
 1,000,000     Johnson & Johnson   4.375   12/05/33   1,314,878 
 250,000     Johnson & Johnson   3.550   03/01/36   294,941 
 450,000     Johnson & Johnson   3.625   03/03/37   535,139 
 250,000     Johnson & Johnson   5.950   08/15/37   383,973 
 675,000     Johnson & Johnson   3.400   01/15/38   797,151 
 375,000     Johnson & Johnson   5.850   07/15/38   570,624 
 300,000     Johnson & Johnson   4.500   12/05/43   415,515 
 1,200,000     Johnson & Johnson   3.700   03/01/46   1,500,492 
 1,625,000     Johnson & Johnson   3.750   03/03/47   2,050,045 
 2,100,000     Johnson & Johnson   3.500   01/15/48   2,631,353 
 750,000     Merck & Co, Inc   2.350   02/10/22   774,905 
 200,000     Merck & Co, Inc   2.400   09/15/22   208,627 
 1,300,000     Merck & Co, Inc   2.800   05/18/23   1,388,410 
 1,450,000     Merck & Co, Inc   2.750   02/10/25   1,577,744 
 775,000     Merck & Co, Inc   0.750   02/24/26   774,358 
 375,000     Merck & Co, Inc   1.450   06/24/30   375,753 
 1,475,000     Merck & Co, Inc   3.900   03/07/39   1,778,113 
 425,000     Merck & Co, Inc   2.350   06/24/40   432,407 
 100,000     Merck & Co, Inc   3.600   09/15/42   118,985 
 925,000     Merck & Co, Inc   4.150   05/18/43   1,189,466 
 1,825,000     Merck & Co, Inc   3.700   02/10/45   2,188,314 
 1,600,000     Merck & Co, Inc   4.000   03/07/49   2,076,141 
 375,000     Merck & Co, Inc   2.450   06/24/50   376,354 
 10,000     Mylan NV   3.750   12/15/20   10,105 
 1,175,000     Mylan NV   3.150   06/15/21   1,199,565 
 2,800,000     Mylan NV   3.950   06/15/26   3,130,545 
 750,000     Mylan NV   5.250   06/15/46   929,633 
 500,000     Mylan, Inc   4.550   04/15/28   574,360 
 700,000     Mylan, Inc   5.200   04/15/48   860,773 
 725,000     Novartis Capital Corp   2.400   09/21/22   755,596 
 2,300,000     Novartis Capital Corp   3.400   05/06/24   2,529,078 
 725,000     Novartis Capital Corp   3.000   11/20/25   804,806 
 1,000,000     Novartis Capital Corp   2.000   02/14/27   1,059,791 
 1,300,000     Novartis Capital Corp   3.100   05/17/27   1,457,337 
 1,000,000     Novartis Capital Corp   2.200   08/14/30   1,057,860 
 400,000     Novartis Capital Corp   3.700   09/21/42   486,367 
 1,025,000     Novartis Capital Corp   4.400   05/06/44   1,381,668 
 1,000,000     Novartis Capital Corp   4.000   11/20/45   1,267,343 
 750,000     Novartis Capital Corp   2.750   08/14/50   792,001 
 100,000     Perrigo Co plc   4.000   11/15/23   103,100 
 100,000     Perrigo Co plc   5.300   11/15/43   109,038 
 200,000     Perrigo Finance Unlimited Co   3.900   12/15/24   212,686 
 200,000     Perrigo Finance Unlimited Co   4.375   03/15/26   218,109 
 200,000     Perrigo Finance Unlimited Co   3.150   06/15/30   201,674 
 221,000     Perrigo Finance Unlimited Co   4.900   12/15/44   235,444 
 500,000     Pfizer, Inc   1.950   06/03/21   507,833 
 500,000     Pfizer, Inc   3.000   09/15/21   516,243 
 200,000     Pfizer, Inc   2.200   12/15/21   205,468 
 1,075,000     Pfizer, Inc   3.000   06/15/23   1,153,361 
 1,175,000     Pfizer, Inc   3.400   05/15/24   1,301,542 
 3,000,000     Pfizer, Inc   0.800   05/28/25   2,998,134 
 350,000     Pfizer, Inc   2.750   06/03/26   388,690 
 2,850,000     Pfizer, Inc   3.000   12/15/26   3,217,203 
67

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$950,000     Pfizer, Inc   3.600%  09/15/28  $1,118,173 
 1,550,000     Pfizer, Inc   3.450   03/15/29   1,810,775 
 425,000     Pfizer, Inc   4.000   12/15/36   520,968 
 500,000     Pfizer, Inc   4.100   09/15/38   621,505 
 875,000     Pfizer, Inc   3.900   03/15/39   1,079,485 
 350,000     Pfizer, Inc   7.200   03/15/39   591,627 
 250,000     Pfizer, Inc   2.550   05/28/40   259,464 
 625,000     Pfizer, Inc   4.300   06/15/43   800,921 
 1,100,000     Pfizer, Inc   4.400   05/15/44   1,429,431 
 1,875,000     Pfizer, Inc   4.125   12/15/46   2,415,804 
 1,200,000     Pfizer, Inc   4.200   09/15/48   1,560,084 
 2,100,000     Pfizer, Inc   4.000   03/15/49   2,687,218 
 500,000     Pfizer, Inc   2.700   05/28/50   515,595 
 1,750,000     Sanofi   3.375   06/19/23   1,893,399 
 500,000     Sanofi   3.625   06/19/28   587,686 
 825,000     Takeda Pharmaceutical Co Ltd   4.000   11/26/21   861,334 
 1,000,000     Takeda Pharmaceutical Co Ltd   4.400   11/26/23   1,111,421 
 2,100,000     Takeda Pharmaceutical Co Ltd   5.000   11/26/28   2,588,652 
 700,000 h   Takeda Pharmaceutical Co Ltd   2.050   03/31/30   692,854 
 350,000 h   Takeda Pharmaceutical Co Ltd   3.025   07/09/40   352,669 
 650,000 h   Takeda Pharmaceutical Co Ltd   3.175   07/09/50   652,527 
 1,000,000 h   Takeda Pharmaceutical Co Ltd   3.375   07/09/60   1,000,075 
 1,000,000     Wyeth LLC   6.450   02/01/24   1,203,964 
 150,000     Wyeth LLC   6.500   02/01/34   233,302 
 275,000     Wyeth LLC   5.950   04/01/37   401,377 
 100,000     Zoetis, Inc   3.450   11/13/20   100,867 
 500,000     Zoetis, Inc   3.250   08/20/21   514,208 
 1,000,000     Zoetis, Inc   3.250   02/01/23   1,055,423 
 300,000     Zoetis, Inc   4.500   11/13/25   350,154 
 425,000     Zoetis, Inc   3.000   09/12/27   468,864 
 500,000     Zoetis, Inc   3.900   08/20/28   588,753 
 900,000     Zoetis, Inc   4.700   02/01/43   1,188,735 
 650,000     Zoetis, Inc   3.950   09/12/47   778,143 
 200,000     Zoetis, Inc   4.450   08/20/48   257,958 
 375,000     Zoetis, Inc   3.000   05/15/50   385,510 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   258,108,568 
                     
REAL ESTATE - 1.0%             
 100,000     Alexandria Real Estate Equities, Inc   3.900   06/15/23   108,176 
 1,250,000     Alexandria Real Estate Equities, Inc   4.000   01/15/24   1,381,510 
 100,000     Alexandria Real Estate Equities, Inc   3.450   04/30/25   111,313 
 200,000     Alexandria Real Estate Equities, Inc   4.300   01/15/26   227,632 
 500,000     Alexandria Real Estate Equities, Inc   3.800   04/15/26   560,887 
 200,000     Alexandria Real Estate Equities, Inc   4.500   07/30/29   239,544 
 425,000     Alexandria Real Estate Equities, Inc   2.750   12/15/29   453,264 
 100,000     Alexandria Real Estate Equities, Inc   4.700   07/01/30   122,358 
 275,000     Alexandria Real Estate Equities, Inc   3.375   08/15/31   306,675 
 500,000     Alexandria Real Estate Equities, Inc   4.850   04/15/49   655,092 
 700,000     Alexandria Real Estate Equities, Inc   4.000   02/01/50   854,332 
 100,000     American Campus Communities Operating Partnership LP   3.750   04/15/23   102,683 
 500,000     American Campus Communities Operating Partnership LP   3.300   07/15/26   512,749 
68

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$200,000     American Campus Communities Operating Partnership LP   3.625%  11/15/27  $205,429 
 500,000     American Campus Communities Operating Partnership LP   2.850   02/01/30   482,828 
 500,000     American Homes 4 Rent LP   4.900   02/15/29   557,524 
 1,150,000     American Tower Corp   3.300   02/15/21   1,169,547 
 200,000     American Tower Corp   3.450   09/15/21   206,918 
 725,000     American Tower Corp   2.250   01/15/22   743,093 
 200,000     American Tower Corp   4.700   03/15/22   213,814 
 800,000     American Tower Corp   3.500   01/31/23   854,771 
 450,000     American Tower Corp   5.000   02/15/24   512,359 
 350,000     American Tower Corp   3.375   05/15/24   379,775 
 750,000     American Tower Corp   2.400   03/15/25   788,402 
 525,000     American Tower Corp   4.000   06/01/25   591,028 
 1,350,000     American Tower Corp   1.300   09/15/25   1,354,288 
 200,000     American Tower Corp   4.400   02/15/26   230,972 
 425,000     American Tower Corp   3.375   10/15/26   472,693 
 750,000     American Tower Corp   2.750   01/15/27   805,344 
 500,000     American Tower Corp   3.125   01/15/27   547,155 
 150,000     American Tower Corp   3.550   07/15/27   167,173 
 500,000     American Tower Corp   3.600   01/15/28   558,235 
 350,000     American Tower Corp   3.950   03/15/29   398,288 
 750,000     American Tower Corp   2.900   01/15/30   800,316 
 750,000     American Tower Corp   2.100   06/15/30   751,559 
 1,350,000     American Tower Corp   3.700   10/15/49   1,479,099 
 750,000     American Tower Corp   3.100   06/15/50   736,912 
 225,000     AvalonBay Communities, Inc   2.950   09/15/22   234,233 
 200,000     AvalonBay Communities, Inc   3.500   11/15/24   218,527 
 200,000     AvalonBay Communities, Inc   2.950   05/11/26   216,955 
 100,000     AvalonBay Communities, Inc   2.900   10/15/26   108,105 
 1,200,000     AvalonBay Communities, Inc   3.350   05/15/27   1,338,180 
 200,000     AvalonBay Communities, Inc   3.200   01/15/28   222,020 
 750,000     AvalonBay Communities, Inc   3.300   06/01/29   845,135 
 750,000     AvalonBay Communities, Inc   2.300   03/01/30   791,228 
 400,000     AvalonBay Communities, Inc   4.150   07/01/47   505,324 
 200,000     AvalonBay Communities, Inc   4.350   04/15/48   257,470 
 1,175,000     Boston Properties LP   4.125   05/15/21   1,198,817 
 275,000     Boston Properties LP   3.850   02/01/23   293,638 
 425,000     Boston Properties LP   3.125   09/01/23   450,306 
 200,000     Boston Properties LP   3.800   02/01/24   216,921 
 1,500,000     Boston Properties LP   3.200   01/15/25   1,614,555 
 275,000     Boston Properties LP   3.650   02/01/26   304,591 
 700,000     Boston Properties LP   2.750   10/01/26   750,026 
 550,000     Boston Properties LP   4.500   12/01/28   657,670 
 550,000     Boston Properties LP   3.400   06/21/29   606,620 
 750,000     Boston Properties LP   2.900   03/15/30   784,332 
 500,000     Boston Properties LP   3.250   01/30/31   537,837 
 100,000     Brandywine Operating Partnership LP   3.950   02/15/23   102,994 
 500,000     Brandywine Operating Partnership LP   4.100   10/01/24   520,797 
 100,000     Brandywine Operating Partnership LP   3.950   11/15/27   102,659 
 500,000     Brandywine Operating Partnership LP   4.550   10/01/29   524,587 
 350,000     Brixmor Operating Partnership LP   3.250   09/15/23   357,609 
 900,000     Brixmor Operating Partnership LP   3.650   06/15/24   932,420 
 200,000     Brixmor Operating Partnership LP   3.850   02/01/25   206,534 
69

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$225,000     Brixmor Operating Partnership LP   4.125%  06/15/26  $235,304 
 300,000     Brixmor Operating Partnership LP   3.900   03/15/27   308,378 
 600,000     Brixmor Operating Partnership LP   4.125   05/15/29   622,852 
 190,000     Brixmor Operating Partnership LP   4.050   07/01/30   194,073 
 200,000     Camden Property Trust   2.950   12/15/22   208,157 
 100,000     Camden Property Trust   4.100   10/15/28   117,596 
 325,000     Camden Property Trust   3.150   07/01/29   360,234 
 100,000     Camden Property Trust   2.800   05/15/30   108,029 
 500,000     Camden Property Trust   3.350   11/01/49   536,240 
 500,000     CBRE Services, Inc   4.875   03/01/26   569,055 
 1,225,000     CC Holdings GS V LLC   3.849   04/15/23   1,323,034 
 400,000     Columbia Property Trust Operating Partnership LP   3.650   08/15/26   413,238 
 200,000     Corporate Office Properties LP   3.700   06/15/21   203,284 
 300,000     Corporate Office Properties LP   5.000   07/01/25   319,277 
 350,000     Crown Castle International Corp   3.400   02/15/21   355,486 
 800,000     Crown Castle International Corp   2.250   09/01/21   806,698 
 150,000     Crown Castle International Corp   4.875   04/15/22   160,248 
 200,000     Crown Castle International Corp   5.250   01/15/23   222,552 
 1,375,000     Crown Castle International Corp   3.150   07/15/23   1,467,339 
 500,000     Crown Castle International Corp   3.200   09/01/24   542,565 
 1,000,000     Crown Castle International Corp   1.350   07/15/25   1,003,494 
 975,000     Crown Castle International Corp   4.450   02/15/26   1,117,628 
 250,000     Crown Castle International Corp   3.700   06/15/26   278,823 
 100,000     Crown Castle International Corp   4.000   03/01/27   113,640 
 525,000     Crown Castle International Corp   3.650   09/01/27   584,740 
 775,000     Crown Castle International Corp   3.800   02/15/28   870,935 
 300,000     Crown Castle International Corp   4.300   02/15/29   348,070 
 500,000     Crown Castle International Corp   3.100   11/15/29   535,872 
 275,000     Crown Castle International Corp   3.300   07/01/30   300,247 
 1,050,000     Crown Castle International Corp   2.250   01/15/31   1,057,579 
 200,000     Crown Castle International Corp   4.750   05/15/47   247,343 
 300,000     Crown Castle International Corp   5.200   02/15/49   398,158 
 500,000     Crown Castle International Corp   4.000   11/15/49   557,661 
 200,000     Crown Castle International Corp   4.150   07/01/50   229,884 
 875,000     Crown Castle International Corp   3.250   01/15/51   873,223 
 100,000     CubeSmart LP   4.375   12/15/23   109,161 
 200,000     CubeSmart LP   3.125   09/01/26   212,719 
 100,000     CubeSmart LP   4.375   02/15/29   116,220 
 250,000     CubeSmart LP   3.000   02/15/30   265,244 
 250,000     CyrusOne LP   2.900   11/15/24   262,308 
 750,000     CyrusOne LP   3.450   11/15/29   780,712 
 150,000     DDR Corp   4.250   02/01/26   151,884 
 700,000     Digital Realty Trust LP   3.950   07/01/22   741,652 
 300,000     Digital Realty Trust LP   3.625   10/01/22   316,644 
 800,000     Digital Realty Trust LP   2.750   02/01/23   838,468 
 200,000     Digital Realty Trust LP   4.750   10/01/25   230,752 
 475,000     Digital Realty Trust LP   3.700   08/15/27   541,789 
 300,000     Digital Realty Trust LP   4.450   07/15/28   359,449 
 1,000,000     Digital Realty Trust LP   3.600   07/01/29   1,147,843 
 100,000     Duke Realty LP   3.750   12/01/24   109,945 
 100,000     Duke Realty LP   3.250   06/30/26   109,660 
 1,000,000     Duke Realty LP   3.375   12/15/27   1,116,311 
 100,000     Duke Realty LP   4.000   09/15/28   117,344 
 225,000     Duke Realty LP   2.875   11/15/29   245,381 
70

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$200,000     Duke Realty LP   1.750%  07/01/30  $198,626 
 500,000     Duke Realty LP   3.050   03/01/50   522,862 
 700,000     EPR Properties   4.750   12/15/26   668,471 
 200,000     EPR Properties   4.500   06/01/27   185,500 
 1,000,000     EPR Properties   3.750   08/15/29   872,041 
 1,000,000     Equinix, Inc   2.625   11/18/24   1,064,620 
 1,000,000     Equinix, Inc   1.250   07/15/25   999,750 
 650,000     Equinix, Inc   2.900   11/18/26   700,648 
 200,000     Equinix, Inc   1.800   07/15/27   200,206 
 1,000,000     Equinix, Inc   3.200   11/18/29   1,085,480 
 175,000     Equinix, Inc   2.150   07/15/30   172,870 
 500,000     Equinix, Inc   3.000   07/15/50   486,605 
 200,000     ERP Operating LP   4.625   12/15/21   209,540 
 700,000     ERP Operating LP   3.375   06/01/25   769,480 
 200,000     ERP Operating LP   2.850   11/01/26   217,217 
 1,150,000     ERP Operating LP   3.250   08/01/27   1,274,602 
 500,000     ERP Operating LP   3.500   03/01/28   565,983 
 200,000     ERP Operating LP   4.150   12/01/28   236,649 
 750,000     ERP Operating LP   3.000   07/01/29   828,861 
 300,000     ERP Operating LP   2.500   02/15/30   319,964 
 425,000     ERP Operating LP   4.500   07/01/44   550,613 
 100,000     ERP Operating LP   4.000   08/01/47   125,969 
 100,000     Essex Portfolio LP   3.625   08/15/22   104,817 
 100,000     Essex Portfolio LP   3.250   05/01/23   105,303 
 400,000     Essex Portfolio LP   3.500   04/01/25   436,224 
 100,000     Essex Portfolio LP   3.375   04/15/26   108,483 
 200,000     Essex Portfolio LP   3.625   05/01/27   221,940 
 900,000     Essex Portfolio LP   4.000   03/01/29   1,045,983 
 325,000     Essex Portfolio LP   3.000   01/15/30   353,543 
 500,000     Essex Portfolio LP   2.650   03/15/32   527,219 
 300,000     Essex Portfolio LP   4.500   03/15/48   376,681 
 500,000     Federal Realty Investment Trust   3.950   01/15/24   532,096 
 250,000     Federal Realty Investment Trust   3.250   07/15/27   261,689 
 1,300,000     Federal Realty Investment Trust   3.200   06/15/29   1,352,496 
 300,000     Federal Realty Investment Trust   3.500   06/01/30   315,985 
 200,000     Federal Realty Investment Trust   4.500   12/01/44   224,614 
 250,000     GLP Capital LP   3.350   09/01/24   249,800 
 1,300,000     GLP Capital LP   5.250   06/01/25   1,413,633 
 150,000     GLP Capital LP   5.375   04/15/26   163,932 
 750,000     GLP Capital LP   5.750   06/01/28   826,275 
 200,000     GLP Capital LP   5.300   01/15/29   216,416 
 500,000     GLP Capital LP   4.000   01/15/30   497,175 
 100,000     Healthcare Realty Trust, Inc   3.625   01/15/28   105,301 
 100,000     Healthcare Realty Trust, Inc   2.400   03/15/30   95,119 
 100,000     Healthcare Trust of America Holdings LP   3.700   04/15/23   104,618 
 800,000     Healthcare Trust of America Holdings LP   3.500   08/01/26   864,311 
 500,000     Healthcare Trust of America Holdings LP   3.100   02/15/30   504,348 
 200,000     Healthpeak Properties, Inc   4.200   03/01/24   217,940 
 1,750,000     Healthpeak Properties, Inc   3.875   08/15/24   1,923,510 
 250,000     Healthpeak Properties, Inc   4.000   06/01/25   276,877 
 100,000     Healthpeak Properties, Inc   3.250   07/15/26   109,286 
 600,000     Healthpeak Properties, Inc   3.500   07/15/29   653,314 
 1,000,000     Healthpeak Properties, Inc   3.000   01/15/30   1,046,094 
 175,000     Healthpeak Properties, Inc   2.875   01/15/31   179,656 
71

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$30,000     Healthpeak Properties, Inc   6.750%  02/01/41  $42,027 
 100,000     Highwoods Realty LP   3.875   03/01/27   105,627 
 150,000     Highwoods Realty LP   4.125   03/15/28   160,402 
 250,000     Highwoods Realty LP   4.200   04/15/29   268,603 
 500,000     Highwoods Realty LP   3.050   02/15/30   497,607 
 600,000     Host Hotels & Resorts LP   3.750   10/15/23   612,380 
 700,000     Host Hotels & Resorts LP   3.875   04/01/24   716,121 
 200,000     Host Hotels & Resorts LP   4.000   06/15/25   207,511 
 100,000     Host Hotels & Resorts LP   4.500   02/01/26   103,520 
 500,000     Host Hotels & Resorts LP   3.375   12/15/29   478,012 
 100,000     Hudson Pacific Properties LP   3.950   11/01/27   103,621 
 100,000     Hudson Pacific Properties LP   4.650   04/01/29   108,019 
 750,000     Hudson Pacific Properties LP   3.250   01/15/30   726,956 
 250,000     Kilroy Realty LP   3.800   01/15/23   258,206 
 125,000     Kilroy Realty LP   3.450   12/15/24   131,039 
 250,000     Kilroy Realty LP   4.750   12/15/28   280,289 
 200,000     Kilroy Realty LP   4.250   08/15/29   218,130 
 750,000     Kilroy Realty LP   3.050   02/15/30   744,040 
 200,000     Kimco Realty Corp   3.200   05/01/21   202,686 
 100,000     Kimco Realty Corp   3.400   11/01/22   104,014 
 300,000     Kimco Realty Corp   3.125   06/01/23   305,879 
 200,000     Kimco Realty Corp   2.700   03/01/24   205,528 
 1,175,000     Kimco Realty Corp   3.300   02/01/25   1,233,093 
 625,000     Kimco Realty Corp   2.800   10/01/26   641,141 
 200,000     Kimco Realty Corp   3.800   04/01/27   214,260 
 200,000     Kimco Realty Corp   4.250   04/01/45   198,215 
 175,000     Kimco Realty Corp   4.125   12/01/46   169,602 
 100,000     Kimco Realty Corp   4.450   09/01/47   102,275 
 500,000     Kimco Realty Corp   3.700   10/01/49   461,925 
 200,000     Life Storage LP   3.875   12/15/27   218,075 
 500,000     Life Storage LP   4.000   06/15/29   553,553 
 200,000     Mid-America Apartments LP   4.300   10/15/23   219,568 
 100,000     Mid-America Apartments LP   4.000   11/15/25   111,080 
 750,000     Mid-America Apartments LP   3.600   06/01/27   832,090 
 200,000     Mid-America Apartments LP   4.200   06/15/28   231,762 
 625,000     Mid-America Apartments LP   3.950   03/15/29   720,638 
 175,000     Mid-America Apartments LP   2.750   03/15/30   185,058 
 1,550,000     National Retail Properties, Inc   3.500   10/15/27   1,619,161 
 300,000     National Retail Properties, Inc   2.500   04/15/30   286,439 
 500,000     National Retail Properties, Inc   3.100   04/15/50   426,568 
 1,200,000     OMEGA Healthcare Investors, Inc   4.375   08/01/23   1,245,704 
 200,000     OMEGA Healthcare Investors, Inc   4.500   04/01/27   209,501 
 825,000     OMEGA Healthcare Investors, Inc   4.750   01/15/28   873,016 
 500,000     OMEGA Healthcare Investors, Inc   3.625   10/01/29   489,373 
 200,000     Physicians Realty LP   4.300   03/15/27   208,289 
 200,000     Physicians Realty LP   3.950   01/15/28   203,882 
 200,000     Piedmont Operating Partnership LP   3.400   06/01/23   203,173 
 200,000     Piedmont Operating Partnership LP   4.450   03/15/24   204,950 
 150,000     ProLogis LP   4.250   08/15/23   165,960 
 700,000     ProLogis LP   3.750   11/01/25   803,952 
 100,000     ProLogis LP   3.250   10/01/26   112,167 
 500,000     ProLogis LP   2.125   04/15/27   525,846 
 1,200,000     ProLogis LP   3.875   09/15/28   1,421,478 
 100,000     ProLogis LP   4.375   02/01/29   121,445 
72

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$500,000     ProLogis LP   2.250%  04/15/30  $526,368 
 100,000     ProLogis LP   4.375   09/15/48   130,169 
 500,000     ProLogis LP   3.000   04/15/50   528,354 
 200,000     Public Storage   2.370   09/15/22   207,297 
 200,000     Public Storage   3.094   09/15/27   223,027 
 500,000     Public Storage   3.385   05/01/29   577,405 
 200,000     Rayonier, Inc   3.750   04/01/22   201,029 
 850,000     Realty Income Corp   3.250   10/15/22   890,332 
 500,000     Realty Income Corp   4.650   08/01/23   552,053 
 200,000     Realty Income Corp   3.875   04/15/25   222,207 
 200,000     Realty Income Corp   4.125   10/15/26   228,847 
 200,000     Realty Income Corp   3.000   01/15/27   211,677 
 1,000,000     Realty Income Corp   3.650   01/15/28   1,100,100 
 500,000     Realty Income Corp   3.250   06/15/29   540,294 
 1,000,000     Realty Income Corp   3.250   01/15/31   1,081,633 
 300,000     Realty Income Corp   4.650   03/15/47   375,624 
 200,000     Regency Centers Corp   3.750   11/15/22   208,314 
 375,000     Regency Centers LP   3.600   02/01/27   399,087 
 125,000     Regency Centers LP   4.125   03/15/28   136,360 
 425,000     Regency Centers LP   2.950   09/15/29   431,290 
 500,000     Regency Centers LP   3.700   06/15/30   537,469 
 200,000     Regency Centers LP   4.400   02/01/47   222,408 
 300,000     Regency Centers LP   4.650   03/15/49   341,190 
 300,000     Sabra Health Care LP   4.800   06/01/24   300,660 
 300,000     Sabra Health Care LP   5.125   08/15/26   304,159 
 200,000     Select Income REIT   4.150   02/01/22   198,803 
 500,000     Select Income REIT   4.250   05/15/24   487,953 
 200,000     Select Income REIT   4.500   02/01/25   194,501 
 300,000     Simon Property Group LP   2.500   07/15/21   302,758 
 2,850,000     Simon Property Group LP   2.350   01/30/22   2,902,942 
 200,000     Simon Property Group LP   2.625   06/15/22   205,617 
 1,300,000     Simon Property Group LP   2.750   06/01/23   1,355,014 
 500,000     Simon Property Group LP   2.000   09/13/24   512,780 
 450,000     Simon Property Group LP   3.375   10/01/24   484,095 
 300,000     Simon Property Group LP   3.500   09/01/25   324,114 
 625,000     Simon Property Group LP   3.300   01/15/26   670,536 
 350,000     Simon Property Group LP   3.250   11/30/26   377,752 
 200,000     Simon Property Group LP   3.375   06/15/27   213,078 
 300,000     Simon Property Group LP   3.375   12/01/27   318,602 
 1,750,000     Simon Property Group LP   2.450   09/13/29   1,735,295 
 1,500,000     Simon Property Group LP   4.250   10/01/44   1,594,746 
 300,000     Simon Property Group LP   4.250   11/30/46   324,623 
 500,000     Simon Property Group LP   3.250   09/13/49   465,969 
 200,000     SITE Centers Corp   4.700   06/01/27   203,471 
 200,000     SL Green Operating Partnership LP   3.250   10/15/22   199,163 
 200,000     SL Green Realty Corp   4.500   12/01/22   204,143 
 525,000     Sovran Acquisition LP   3.500   07/01/26   562,253 
 300,000     Spirit Realty LP   3.200   01/15/27   286,547 
 500,000     Spirit Realty LP   4.000   07/15/29   492,652 
 300,000     Spirit Realty LP   3.400   01/15/30   283,815 
 500,000     STORE Capital Corp   4.625   03/15/29   511,161 
 100,000     Tanger Properties LP   3.125   09/01/26   92,336 
 250,000     Tanger Properties LP   3.875   07/15/27   231,983 
 200,000     UDR, Inc   4.000   10/01/25   223,072 
73

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$200,000     UDR, Inc   3.500%  07/01/27  $218,895 
 200,000     UDR, Inc   3.500   01/15/28   218,731 
 600,000     UDR, Inc   3.200   01/15/30   653,768 
 750,000     UDR, Inc   3.000   08/15/31   799,371 
 300,000     UDR, Inc   3.100   11/01/34   320,262 
 850,000     Ventas Realty LP   3.250   08/15/22   870,028 
 200,000     Ventas Realty LP   3.100   01/15/23   204,731 
 800,000     Ventas Realty LP   3.125   06/15/23   823,299 
 300,000     Ventas Realty LP   3.500   04/15/24   312,134 
 750,000     Ventas Realty LP   2.650   01/15/25   752,180 
 120,000     Ventas Realty LP   4.125   01/15/26   128,776 
 200,000     Ventas Realty LP   3.250   10/15/26   205,770 
 1,000,000     Ventas Realty LP   4.000   03/01/28   1,059,540 
 525,000     Ventas Realty LP   4.400   01/15/29   572,354 
 350,000     Ventas Realty LP   3.000   01/15/30   346,687 
 500,000     Ventas Realty LP   4.750   11/15/30   561,684 
 300,000     Ventas Realty LP   4.375   02/01/45   305,073 
 300,000     Ventas Realty LP   4.875   04/15/49   327,922 
 425,000     VEREIT Operating Partnership LP   4.875   06/01/26   471,199 
 650,000     VEREIT Operating Partnership LP   3.950   08/15/27   676,331 
 1,000,000     VEREIT Operating Partnership LP   3.400   01/15/28   1,006,046 
 500,000     VEREIT Operating Partnership LP   3.100   12/15/29   481,790 
 200,000     Vornado Realty LP   3.500   01/15/25   200,188 
 100,000     Washington REIT   3.950   10/15/22   102,052 
 100,000     Weingarten Realty Investors   3.375   10/15/22   102,062 
 100,000     Weingarten Realty Investors   3.500   04/15/23   102,645 
 500,000     Welltower, Inc   3.950   09/01/23   538,286 
 2,000,000     Welltower, Inc   3.625   03/15/24   2,136,869 
 1,700,000     Welltower, Inc   4.000   06/01/25   1,879,160 
 600,000     Welltower, Inc   4.250   04/01/26   672,389 
 500,000     Welltower, Inc   2.700   02/15/27   519,524 
 600,000     Welltower, Inc   4.250   04/15/28   670,427 
 500,000     Welltower, Inc   4.125   03/15/29   558,107 
 425,000     Welltower, Inc   3.100   01/15/30   440,725 
 400,000     Welltower, Inc   2.750   01/15/31   397,971 
 300,000     Welltower, Inc   4.950   09/01/48   335,439 
 300,000     Weyerhaeuser Co   3.250   03/15/23   315,803 
 200,000     Weyerhaeuser Co   4.625   09/15/23   222,670 
 500,000     Weyerhaeuser Co   4.000   11/15/29   564,445 
 500,000     Weyerhaeuser Co   4.000   04/15/30   564,758 
 1,075,000     Weyerhaeuser Co   7.375   03/15/32   1,486,680 
 200,000     WP Carey, Inc   4.600   04/01/24   212,910 
 347,000     WP Carey, Inc   4.000   02/01/25   362,222 
 1,000,000     WP Carey, Inc   3.850   07/15/29   1,039,616 
       TOTAL REAL ESTATE           161,551,586 
                     
RETAILING - 0.7%               
 250,000     Advance Auto Parts, Inc   4.500   12/01/23   271,222 
 500,000  g  Advance Auto Parts, Inc   3.900   04/15/30   534,782 
 500,000     Alibaba Group Holding Ltd   3.125   11/28/21   514,432 
 1,200,000     Alibaba Group Holding Ltd   2.800   06/06/23   1,260,799 
 1,250,000     Alibaba Group Holding Ltd   3.600   11/28/24   1,363,393 
 1,325,000     Alibaba Group Holding Ltd   3.400   12/06/27   1,471,747 
 500,000     Alibaba Group Holding Ltd   4.500   11/28/34   611,979 
74

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$750,000     Alibaba Group Holding Ltd   4.000%  12/06/37  $870,734 
 1,500,000     Alibaba Group Holding Ltd   4.200   12/06/47   1,849,232 
 750,000     Alibaba Group Holding Ltd   4.400   12/06/57   963,030 
 200,000     Allegion US Holding Co, Inc   3.200   10/01/24   208,644 
 200,000     Allegion US Holding Co, Inc   3.550   10/01/27   209,381 
 300,000     Amazon.com, Inc   3.300   12/05/21   311,628 
 850,000     Amazon.com, Inc   2.500   11/29/22   890,233 
 1,650,000     Amazon.com, Inc   2.400   02/22/23   1,733,614 
 1,000,000     Amazon.com, Inc   0.400   06/03/23   999,378 
 1,125,000     Amazon.com, Inc   2.800   08/22/24   1,222,337 
 425,000     Amazon.com, Inc   3.800   12/05/24   481,980 
 1,000,000     Amazon.com, Inc   0.800   06/03/25   1,005,717 
 325,000     Amazon.com, Inc   5.200   12/03/25   398,759 
 1,000,000     Amazon.com, Inc   1.200   06/03/27   1,006,360 
 2,700,000     Amazon.com, Inc   3.150   08/22/27   3,089,545 
 1,000,000     Amazon.com, Inc   1.500   06/03/30   1,014,137 
 1,800,000     Amazon.com, Inc   4.800   12/05/34   2,450,624 
 2,625,000     Amazon.com, Inc   3.875   08/22/37   3,249,300 
 775,000     Amazon.com, Inc   4.950   12/05/44   1,101,821 
 1,875,000     Amazon.com, Inc   4.050   08/22/47   2,444,777 
 1,000,000     Amazon.com, Inc   2.500   06/03/50   1,011,376 
 1,900,000     Amazon.com, Inc   4.250   08/22/57   2,546,953 
 1,000,000     Amazon.com, Inc   2.700   06/03/60   1,015,054 
 100,000     AutoNation, Inc   3.350   01/15/21   100,434 
 200,000     AutoNation, Inc   3.500   11/15/24   206,310 
 244,000     AutoNation, Inc   4.500   10/01/25   262,385 
 200,000     AutoNation, Inc   3.800   11/15/27   206,853 
 100,000     AutoNation, Inc   4.750   06/01/30   108,339 
 100,000     AutoZone, Inc   4.000   11/15/20   100,422 
 442,000     AutoZone, Inc   3.700   04/15/22   462,405 
 300,000     AutoZone, Inc   2.875   01/15/23   309,993 
 150,000     AutoZone, Inc   3.125   07/15/23   159,637 
 250,000     AutoZone, Inc   3.125   04/18/24   263,441 
 200,000     AutoZone, Inc   3.250   04/15/25   218,037 
 500,000     AutoZone, Inc   3.625   04/15/25   558,711 
 100,000     AutoZone, Inc   3.125   04/21/26   109,788 
 650,000     AutoZone, Inc   3.750   06/01/27   728,307 
 200,000     AutoZone, Inc   3.750   04/18/29   227,235 
 500,000     AutoZone, Inc   4.000   04/15/30   577,792 
 500,000     Best Buy Co, Inc   4.450   10/01/28   580,007 
 500,000     Booking Holdings, Inc   4.100   04/13/25   561,791 
 500,000     Booking Holdings, Inc   4.500   04/13/27   573,980 
 500,000     Booking Holdings, Inc   4.625   04/13/30   584,757 
 375,000     Dollar General Corp   3.250   04/15/23   400,402 
 355,000     Dollar General Corp   4.150   11/01/25   411,338 
 300,000     Dollar General Corp   3.875   04/15/27   344,892 
 500,000     Dollar General Corp   4.125   05/01/28   584,675 
 500,000     Dollar General Corp   3.500   04/03/30   560,070 
 500,000     Dollar General Corp   4.125   04/03/50   596,657 
 1,500,000     Dollar Tree, Inc   3.700   05/15/23   1,605,697 
 500,000     Dollar Tree, Inc   4.000   05/15/25   563,016 
 500,000     Dollar Tree, Inc   4.200   05/15/28   581,852 
 175,000     eBay, Inc   3.800   03/09/22   183,873 
 1,025,000     eBay, Inc   2.600   07/15/22   1,059,771 
75

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$375,000     eBay, Inc   2.750%  01/30/23  $391,896 
 400,000     eBay, Inc   3.450   08/01/24   436,268 
 1,500,000     eBay, Inc   1.900   03/11/25   1,548,941 
 1,200,000     eBay, Inc   3.600   06/05/27   1,354,096 
 1,500,000     eBay, Inc   2.700   03/11/30   1,576,595 
 200,000     eBay, Inc   4.000   07/15/42   217,608 
 850,000     Home Depot, Inc   3.250   03/01/22   892,113 
 700,000     Home Depot, Inc   2.625   06/01/22   730,697 
 800,000     Home Depot, Inc   2.700   04/01/23   844,841 
 550,000     Home Depot, Inc   3.750   02/15/24   608,397 
 350,000     Home Depot, Inc   3.350   09/15/25   394,080 
 1,925,000     Home Depot, Inc   3.000   04/01/26   2,162,410 
 1,550,000     Home Depot, Inc   2.125   09/15/26   1,665,746 
 825,000     Home Depot, Inc   3.900   12/06/28   989,178 
 2,333,000     Home Depot, Inc   2.950   06/15/29   2,619,610 
 375,000     Home Depot, Inc   2.700   04/15/30   411,686 
 425,000     Home Depot, Inc   5.875   12/16/36   634,156 
 150,000     Home Depot, Inc   5.950   04/01/41   226,874 
 675,000     Home Depot, Inc   4.200   04/01/43   834,950 
 450,000     Home Depot, Inc   4.875   02/15/44   611,787 
 650,000     Home Depot, Inc   4.400   03/15/45   822,646 
 725,000     Home Depot, Inc   4.250   04/01/46   919,609 
 2,100,000     Home Depot, Inc   3.900   06/15/47   2,568,057 
 2,000,000     Home Depot, Inc   4.500   12/06/48   2,655,632 
 1,000,000     Home Depot, Inc   3.125   12/15/49   1,097,243 
 2,655,000     Home Depot, Inc   3.350   04/15/50   3,027,812 
 675,000     Home Depot, Inc   3.500   09/15/56   782,775 
 500,000     JD.com, Inc   3.375   01/14/30   535,875 
 500,000     JD.com, Inc   4.125   01/14/50   528,930 
 1,000,000     Kohl’s Corp   3.250   02/01/23   974,685 
 55,000     Kohl’s Corp   4.750   12/15/23   53,413 
 300,000     Kohl’s Corp   9.500   05/15/25   342,028 
 200,000     Kohl’s Corp   4.250   07/17/25   194,945 
 200,000     Kohl’s Corp   5.550   07/17/45   178,521 
 200,000     Lowe’s Cos, Inc   3.800   11/15/21   208,041 
 1,025,000     Lowe’s Cos, Inc   3.120   04/15/22   1,066,728 
 300,000     Lowe’s Cos, Inc   3.875   09/15/23   328,563 
 400,000     Lowe’s Cos, Inc   3.125   09/15/24   435,438 
 1,100,000     Lowe’s Cos, Inc   3.375   09/15/25   1,232,141 
 500,000     Lowe’s Cos, Inc   2.500   04/15/26   538,876 
 775,000     Lowe’s Cos, Inc   3.650   04/05/29   888,576 
 100,000     Lowe’s Cos, Inc   4.650   04/15/42   125,166 
 200,000     Lowe’s Cos, Inc   4.250   09/15/44   234,559 
 200,000     Lowe’s Cos, Inc   4.375   09/15/45   240,001 
 1,075,000     Lowe’s Cos, Inc   3.700   04/15/46   1,201,982 
 2,000,000     Lowe’s Cos, Inc   4.050   05/03/47   2,343,978 
 1,425,000     Lowe’s Cos, Inc   4.550   04/05/49   1,804,268 
 1,320,000     Lowe’s Cos, Inc   5.125   04/15/50   1,822,093 
 100,000     Nordstrom, Inc   4.000   10/15/21   100,000 
 700,000     Nordstrom, Inc   4.000   03/15/27   587,655 
 500,000     Nordstrom, Inc   4.375   04/01/30   392,203 
 531,000     Nordstrom, Inc   5.000   01/15/44   375,794 
 150,000     O’Reilly Automotive, Inc   4.875   01/14/21   151,650 
 900,000     O’Reilly Automotive, Inc   3.800   09/01/22   945,278 
76

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$1,000,000     O’Reilly Automotive, Inc   3.600%  09/01/27  $1,123,643 
 300,000     O’Reilly Automotive, Inc   4.350   06/01/28   349,706 
 500,000     O’Reilly Automotive, Inc   3.900   06/01/29   575,704 
 200,000     Priceline Group, Inc   2.750   03/15/23   209,683 
 300,000     Priceline Group, Inc   3.650   03/15/25   329,429 
 300,000     Priceline Group, Inc   3.600   06/01/26   329,145 
 900,000     Priceline Group, Inc   3.550   03/15/28   982,962 
 300,000     Ross Stores, Inc   4.600   04/15/25   344,560 
 300,000     Ross Stores, Inc   4.700   04/15/27   348,152 
 500,000     Ross Stores, Inc   5.450   04/15/50   650,421 
 350,000     Target Corp   3.500   07/01/24   390,933 
 200,000     Target Corp   2.250   04/15/25   213,944 
 1,700,000     Target Corp   2.500   04/15/26   1,868,176 
 1,500,000     Target Corp   3.375   04/15/29   1,734,341 
 600,000     Target Corp   2.350   02/15/30   641,471 
 100,000     Target Corp   2.650   09/15/30   109,857 
 975,000     Target Corp   4.000   07/01/42   1,213,328 
 225,000     Target Corp   3.625   04/15/46   272,847 
 1,500,000     Target Corp   3.900   11/15/47   1,907,309 
 1,000,000     TJX Cos, Inc   2.750   06/15/21   1,018,760 
 300,000     TJX Cos, Inc   2.500   05/15/23   315,089 
 525,000     TJX Cos, Inc   2.250   09/15/26   561,089 
 500,000     TJX Cos, Inc   3.750   04/15/27   570,378 
 500,000     TJX Cos, Inc   3.875   04/15/30   587,456 
 1,000,000     TJX Cos, Inc   4.500   04/15/50   1,278,619 
       TOTAL RETAILING           116,679,927 
                     
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.5%             
 200,000     Altera Corp   4.100   11/15/23   224,396 
 300,000     Analog Devices, Inc   2.500   12/05/21   307,309 
 325,000     Analog Devices, Inc   3.125   12/05/23   349,168 
 250,000     Analog Devices, Inc   2.950   04/01/25   270,873 
 1,175,000     Analog Devices, Inc   3.500   12/05/26   1,312,786 
 100,000     Analog Devices, Inc   4.500   12/05/36   116,891 
 200,000     Analog Devices, Inc   5.300   12/15/45   269,054 
 1,000,000     Applied Materials, Inc   3.300   04/01/27   1,141,070 
 950,000     Applied Materials, Inc   1.750   06/01/30   966,128 
 250,000     Applied Materials, Inc   5.100   10/01/35   347,083 
 100,000     Applied Materials, Inc   5.850   06/15/41   145,673 
 1,200,000     Applied Materials, Inc   4.350   04/01/47   1,541,124 
 775,000     Applied Materials, Inc   2.750   06/01/50   790,109 
 500,000  g  Broadcom, Inc   2.250   11/15/23   516,606 
 750,000  g  Broadcom, Inc   4.700   04/15/25   844,409 
 500,000  g  Broadcom, Inc   3.150   11/15/25   530,852 
 1,600,000  g  Broadcom, Inc   4.250   04/15/26   1,781,585 
 4,399,000  g  Broadcom, Inc   3.459   09/15/26   4,721,804 
 3,706,000  g  Broadcom, Inc   4.110   09/15/28   4,053,457 
 3,000,000  g  Broadcom, Inc   4.750   04/15/29   3,404,709 
 750,000  g  Broadcom, Inc   5.000   04/15/30   861,839 
 850,000  g  Broadcom, Inc   4.150   11/15/30   924,838 
 1,500,000  g  Broadcom, Inc   4.300   11/15/32   1,655,886 
 1,600,000     Intel Corp   3.100   07/29/22   1,691,712 
 1,700,000     Intel Corp   2.700   12/15/22   1,798,381 
 2,050,000     Intel Corp   3.700   07/29/25   2,332,448 
77

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$2,480,000     Intel Corp   2.600%  05/19/26  $2,700,399 
 250,000     Intel Corp   4.000   12/15/32   309,108 
 200,000     Intel Corp   4.100   05/19/46   252,009 
 675,000     Intel Corp   4.100   05/11/47   846,301 
 3,328,000     Intel Corp   3.734   12/08/47   4,008,683 
 2,500,000     Intel Corp   3.250   11/15/49   2,847,318 
 3,175,000     Intel Corp   4.750   03/25/50   4,473,243 
 1,000,000     Intel Corp   3.100   02/15/60   1,098,933 
 1,000,000     KLA Corp   3.300   03/01/50   1,028,831 
 1,000,000     Lam Research Corp   2.800   06/15/21   1,022,365 
 200,000     Lam Research Corp   3.800   03/15/25   225,028 
 150,000     Lam Research Corp   3.750   03/15/26   171,471 
 275,000     Lam Research Corp   4.000   03/15/29   326,735 
 125,000     Lam Research Corp   1.900   06/15/30   127,736 
 825,000     Lam Research Corp   4.875   03/15/49   1,143,520 
 200,000     Lam Research Corp   2.875   06/15/50   206,674 
 1,200,000     Lam Research Corp   3.125   06/15/60   1,266,045 
 350,000     Marvell Technology Group Ltd   4.200   06/22/23   376,093 
 350,000     Marvell Technology Group Ltd   4.875   06/22/28   420,935 
 200,000     Maxim Integrated Products, Inc   3.375   03/15/23   207,728 
 400,000     Maxim Integrated Products, Inc   3.450   06/15/27   436,716 
 1,000,000     Microchip Technology, Inc   4.333   06/01/23   1,078,760 
 750,000     Micron Technology, Inc   2.497   04/24/23   778,830 
 475,000     Micron Technology, Inc   4.640   02/06/24   525,062 
 425,000     Micron Technology, Inc   4.975   02/06/26   487,624 
 750,000     Micron Technology, Inc   4.185   02/15/27   830,682 
 400,000     Micron Technology, Inc   5.327   02/06/29   478,470 
 500,000     Micron Technology, Inc   4.663   02/15/30   582,824 
 525,000     NVIDIA Corp   2.200   09/16/21   535,365 
 800,000     NVIDIA Corp   3.200   09/16/26   906,176 
 750,000     NVIDIA Corp   2.850   04/01/30   834,100 
 2,067,000     NVIDIA Corp   3.500   04/01/50   2,395,396 
 475,000  g  NXP BV   4.875   03/01/24   530,497 
 300,000  g  NXP BV   2.700   05/01/25   315,135 
 425,000  g  NXP BV   5.350   03/01/26   505,162 
 750,000  g  NXP BV   3.875   06/18/26   839,191 
 300,000  g  NXP BV   3.150   05/01/27   318,276 
 400,000  g  NXP BV   5.550   12/01/28   485,913 
 750,000  g  NXP BV   4.300   06/18/29   850,809 
 675,000  g  NXP BV   3.400   05/01/30   726,334 
 100,000     Texas Instruments, Inc   2.625   05/15/24   107,416 
 325,000     Texas Instruments, Inc   1.375   03/12/25   333,636 
 350,000     Texas Instruments, Inc   2.900   11/03/27   392,444 
 1,000,000     Texas Instruments, Inc   2.250   09/04/29   1,064,200 
 325,000     Texas Instruments, Inc   1.750   05/04/30   329,729 
 350,000     Texas Instruments, Inc   3.875   03/15/39   433,761 
 1,200,000     Texas Instruments, Inc   4.150   05/15/48   1,551,381 
 475,000     Xilinx, Inc   2.950   06/01/24   509,444 
 1,000,000     Xilinx, Inc   2.375   06/01/30   1,029,205 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT           76,151,883 
                     
SOFTWARE & SERVICES - 1.1%             
 525,000     Activision Blizzard, Inc   2.300   09/15/21   535,110 
 100,000     Activision Blizzard, Inc   2.600   06/15/22   103,751 
78

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$475,000     Activision Blizzard, Inc   3.400%  09/15/26  $539,483 
 300,000     Activision Blizzard, Inc   3.400   06/15/27   333,611 
 300,000     Activision Blizzard, Inc   4.500   06/15/47   374,338 
 775,000     Adobe Systems, Inc   3.250   02/01/25   862,067 
 125,000     Adobe, Inc   1.700   02/01/23   129,622 
 500,000     Adobe, Inc   1.900   02/01/25   527,988 
 1,000,000     Adobe, Inc   2.150   02/01/27   1,073,311 
 925,000     Adobe, Inc   2.300   02/01/30   998,750 
 1,000,000     Amdocs Ltd   2.538   06/15/30   995,905 
 250,000     Autodesk, Inc   4.375   06/15/25   285,215 
 450,000     Autodesk, Inc   3.500   06/15/27   507,565 
 750,000     Autodesk, Inc   2.850   01/15/30   825,625 
 700,000     Automatic Data Processing, Inc   3.375   09/15/25   785,752 
 900,000     Baidu, Inc   2.875   07/06/22   921,690 
 700,000     Baidu, Inc   3.875   09/29/23   744,568 
 525,000     Baidu, Inc   4.375   05/14/24   571,467 
 200,000     Baidu, Inc   3.075   04/07/25   209,854 
 300,000     Baidu, Inc   3.625   07/06/27   323,173 
 500,000     Baidu, Inc   4.375   03/29/28   561,140 
 500,000     Baidu, Inc   4.875   11/14/28   585,836 
 300,000     Baidu, Inc   3.425   04/07/30   324,399 
 200,000     Broadridge Financial Solutions, Inc   3.950   09/01/20   201,078 
 350,000     Broadridge Financial Solutions, Inc   3.400   06/27/26   386,748 
 1,000,000     Broadridge Financial Solutions, Inc   2.900   12/01/29   1,068,655 
 150,000     CA, Inc   4.700   03/15/27   165,130 
 500,000     Citrix Systems, Inc   4.500   12/01/27   574,558 
 750,000     Citrix Systems, Inc   3.300   03/01/30   801,557 
 200,000     DXC Technology Co   4.450   09/18/22   208,920 
 500,000     DXC Technology Co   4.000   04/15/23   524,760 
 375,000     DXC Technology Co   4.250   04/15/24   403,217 
 500,000     DXC Technology Co   4.125   04/15/25   532,017 
 200,000     DXC Technology Co   4.750   04/15/27   219,252 
 300,000     Expedia Group, Inc   4.500   08/15/24   311,172 
 1,200,000     Expedia Group, Inc   5.000   02/15/26   1,235,088 
 175,000     Expedia Group, Inc   3.800   02/15/28   168,165 
 750,000     Expedia Group, Inc   3.250   02/15/30   698,980 
 125,000     Fidelity National Information Services, Inc   3.500   04/15/23   133,827 
 163,000     Fidelity National Information Services, Inc   3.875   06/05/24   179,907 
 1,575,000     Fidelity National Information Services, Inc   3.000   08/15/26   1,745,105 
 100,000     Fidelity National Information Services, Inc   4.250   05/15/28   118,027 
 300,000     Fidelity National Information Services, Inc   4.500   08/15/46   370,102 
 150,000     Fidelity National Information Services, Inc   4.750   05/15/48   192,120 
 1,350,000     Fiserv, Inc   3.500   10/01/22   1,426,777 
 125,000     Fiserv, Inc   3.800   10/01/23   136,575 
 2,000,000     Fiserv, Inc   2.750   07/01/24   2,132,630 
 1,675,000     Fiserv, Inc   3.850   06/01/25   1,890,951 
 900,000     Fiserv, Inc   3.200   07/01/26   996,129 
 1,125,000     Fiserv, Inc   3.500   07/01/29   1,263,275 
 675,000     Fiserv, Inc   2.650   06/01/30   712,094 
 2,300,000     Fiserv, Inc   4.400   07/01/49   2,797,737 
 250,000     Global Payments, Inc   3.800   04/01/21   254,529 
 125,000     Global Payments, Inc   3.750   06/01/23   134,795 
 500,000     Global Payments, Inc   4.000   06/01/23   541,938 
 575,000     Global Payments, Inc   2.650   02/15/25   610,267 
79

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$300,000     Global Payments, Inc   4.800%  04/01/26  $351,762 
 500,000     Global Payments, Inc   4.450   06/01/28   579,835 
 475,000     Global Payments, Inc   3.200   08/15/29   508,725 
 325,000     Global Payments, Inc   2.900   05/15/30   339,905 
 750,000     Global Payments, Inc   4.150   08/15/49   856,484 
 425,000     International Business Machines Corp   2.500   01/27/22   438,771 
 750,000     International Business Machines Corp   1.875   08/01/22   771,742 
 750,000     International Business Machines Corp   2.875   11/09/22   792,166 
 550,000     International Business Machines Corp   3.375   08/01/23   595,718 
 600,000     International Business Machines Corp   3.625   02/12/24   661,222 
 3,000,000     International Business Machines Corp   3.000   05/15/24   3,248,706 
 350,000     International Business Machines Corp   3.450   02/19/26   394,278 
 2,500,000     International Business Machines Corp   3.300   05/15/26   2,813,155 
 1,000,000     International Business Machines Corp   1.700   05/15/27   1,021,114 
 2,675,000     International Business Machines Corp   3.500   05/15/29   3,091,176 
 900,000     International Business Machines Corp   1.950   05/15/30   920,328 
 1,850,000     International Business Machines Corp   4.150   05/15/39   2,245,319 
 19,000     International Business Machines Corp   5.600   11/30/39   26,974 
 450,000     International Business Machines Corp   2.850   05/15/40   465,454 
 1,060,000     International Business Machines Corp   4.000   06/20/42   1,280,589 
 1,500,000     International Business Machines Corp   4.700   02/19/46   1,965,482 
 2,500,000     International Business Machines Corp   4.250   05/15/49   3,129,488 
 475,000     International Business Machines Corp   2.950   05/15/50   487,384 
 1,000,000     Intuit, Inc   0.650   07/15/23   1,001,798 
 1,000,000     Intuit, Inc   0.950   07/15/25   1,000,859 
 1,000,000     Intuit, Inc   1.350   07/15/27   1,004,417 
 1,000,000     Intuit, Inc   1.650   07/15/30   996,253 
 200,000     Juniper Networks, Inc   4.500   03/15/24   221,627 
 750,000     Juniper Networks, Inc   4.350   06/15/25   832,682 
 750,000     Juniper Networks, Inc   3.750   08/15/29   838,279 
 200,000     Mastercard, Inc   2.000   11/21/21   204,362 
 1,000,000     Mastercard, Inc   3.375   04/01/24   1,107,080 
 1,000,000     Mastercard, Inc   2.000   03/03/25   1,061,269 
 425,000     Mastercard, Inc   2.950   11/21/26   477,768 
 750,000     Mastercard, Inc   3.500   02/26/28   861,388 
 1,000,000     Mastercard, Inc   2.950   06/01/29   1,124,019 
 200,000     Mastercard, Inc   3.800   11/21/46   240,768 
 300,000     Mastercard, Inc   3.950   02/26/48   375,306 
 1,000,000     Mastercard, Inc   3.650   06/01/49   1,204,030 
 1,350,000     Mastercard, Inc   3.850   03/26/50   1,684,223 
 850,000     Microsoft Corp   1.550   08/08/21   861,730 
 1,300,000     Microsoft Corp   2.375   02/12/22   1,343,059 
 725,000     Microsoft Corp   2.650   11/03/22   762,957 
 575,000     Microsoft Corp   2.125   11/15/22   600,796 
 275,000     Microsoft Corp   2.375   05/01/23   290,234 
 1,450,000     Microsoft Corp   2.000   08/08/23   1,517,976 
 800,000     Microsoft Corp   3.625   12/15/23   881,137 
 975,000     Microsoft Corp   2.700   02/12/25   1,064,041 
 1,075,000     Microsoft Corp   3.125   11/03/25   1,205,963 
 2,925,000     Microsoft Corp   2.400   08/08/26   3,193,231 
 5,739,000     Microsoft Corp   3.300   02/06/27   6,561,084 
 150,000     Microsoft Corp   3.500   02/12/35   183,538 
 1,175,000     Microsoft Corp   4.200   11/03/35   1,528,791 
 2,250,000     Microsoft Corp   3.450   08/08/36   2,712,893 
80

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$1,837,000     Microsoft Corp   4.100%  02/06/37  $2,369,499 
 500,000     Microsoft Corp   3.500   11/15/42   603,412 
 1,575,000     Microsoft Corp   3.700   08/08/46   1,975,436 
 6,038,000     Microsoft Corp   2.525   06/01/50   6,247,579 
 1,073,000     Microsoft Corp   3.950   08/08/56   1,378,406 
 8,974,000     Microsoft Corp   2.675   06/01/60   9,364,638 
 1,250,000     Oracle Corp   2.800   07/08/21   1,282,371 
 1,125,000     Oracle Corp   1.900   09/15/21   1,143,954 
 1,600,000     Oracle Corp   2.500   05/15/22   1,654,420 
 2,150,000     Oracle Corp   2.500   10/15/22   2,246,909 
 800,000     Oracle Corp   2.625   02/15/23   840,841 
 225,000     Oracle Corp   3.625   07/15/23   245,131 
 2,375,000     Oracle Corp   2.400   09/15/23   2,483,419 
 1,225,000     Oracle Corp   3.400   07/08/24   1,340,751 
 900,000     Oracle Corp   2.950   11/15/24   975,544 
 1,000,000     Oracle Corp   2.500   04/01/25   1,075,543 
 1,650,000     Oracle Corp   2.950   05/15/25   1,800,560 
 2,884,000     Oracle Corp   2.650   07/15/26   3,110,591 
 1,000,000     Oracle Corp   2.800   04/01/27   1,091,917 
 1,000,000     Oracle Corp   2.950   04/01/30   1,114,043 
 400,000     Oracle Corp   3.250   05/15/30   452,141 
 2,497,000     Oracle Corp   4.300   07/08/34   3,095,659 
 650,000     Oracle Corp   3.900   05/15/35   786,025 
 1,225,000     Oracle Corp   3.850   07/15/36   1,429,094 
 4,000,000     Oracle Corp   3.800   11/15/37   4,614,122 
 100,000     Oracle Corp   6.500   04/15/38   153,432 
 470,000     Oracle Corp   6.125   07/08/39   697,083 
 675,000     Oracle Corp   3.600   04/01/40   766,168 
 325,000     Oracle Corp   5.375   07/15/40   450,061 
 500,000     Oracle Corp   4.500   07/08/44   629,213 
 325,000     Oracle Corp   4.125   05/15/45   389,800 
 2,025,000     Oracle Corp   4.000   07/15/46   2,396,732 
 3,100,000     Oracle Corp   4.000   11/15/47   3,672,488 
 7,350,000     Oracle Corp   3.600   04/01/50   8,283,547 
 500,000     Oracle Corp   4.375   05/15/55   634,033 
 1,000,000     Oracle Corp   3.850   04/01/60   1,170,007 
 550,000     PayPal Holdings, Inc   2.200   09/26/22   569,277 
 1,000,000     PayPal Holdings, Inc   1.350   06/01/23   1,020,800 
 1,000,000     PayPal Holdings, Inc   2.400   10/01/24   1,061,368 
 1,000,000     PayPal Holdings, Inc   1.650   06/01/25   1,035,094 
 1,000,000     PayPal Holdings, Inc   2.850   10/01/29   1,094,269 
 500,000     PayPal Holdings, Inc   2.300   06/01/30   519,598 
 1,000,000     PayPal Holdings, Inc   3.250   06/01/50   1,088,901 
 725,000     salesforce.com, Inc   3.250   04/11/23   779,160 
 925,000     salesforce.com, Inc   3.700   04/11/28   1,079,127 
 1,475,000     VMware, Inc   2.950   08/21/22   1,525,809 
 500,000     VMware, Inc   4.500   05/15/25   547,046 
 725,000     VMware, Inc   3.900   08/21/27   768,000 
 1,000,000     VMware, Inc   4.700   05/15/30   1,105,342 
 900,000 h   Weibo Corp   3.375   07/08/30   894,033 
 1,600,000     Western Union Co   3.600   03/15/22   1,660,284 
 200,000     Western Union Co   4.250   06/09/23   215,429 
 500,000     Western Union Co   2.850   01/10/25   520,671 
       TOTAL SOFTWARE & SERVICES           187,634,414 
81

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
TECHNOLOGY HARDWARE & EQUIPMENT - 0.8%             
$200,000     Amphenol Corp   3.200%  04/01/24  $214,442 
 250,000     Amphenol Corp   2.050   03/01/25   260,653 
 450,000     Amphenol Corp   4.350   06/01/29   531,069 
 1,000,000     Amphenol Corp   2.800   02/15/30   1,063,033 
 2,925,000     Apple, Inc   1.550   08/04/21   2,968,982 
 1,250,000     Apple, Inc   2.150   02/09/22   1,286,132 
 1,050,000     Apple, Inc   2.700   05/13/22   1,097,439 
 275,000     Apple, Inc   1.700   09/11/22   283,317 
 575,000     Apple, Inc   2.100   09/12/22   596,169 
 650,000     Apple, Inc   2.400   01/13/23   682,353 
 750,000     Apple, Inc   2.850   02/23/23   796,451 
 925,000     Apple, Inc   2.400   05/03/23   977,660 
 1,000,000     Apple, Inc   0.750   05/11/23   1,010,535 
 1,150,000     Apple, Inc   3.000   02/09/24   1,244,164 
 2,725,000     Apple, Inc   3.450   05/06/24   3,010,980 
 1,075,000     Apple, Inc   2.850   05/11/24   1,157,691 
 1,850,000     Apple, Inc   2.750   01/13/25   2,008,107 
 1,075,000     Apple, Inc   2.500   02/09/25   1,161,135 
 2,000,000     Apple, Inc   1.125   05/11/25   2,035,740 
 1,125,000     Apple, Inc   3.200   05/13/25   1,256,310 
 2,825,000     Apple, Inc   3.250   02/23/26   3,172,025 
 1,425,000     Apple, Inc   2.450   08/04/26   1,548,258 
 1,750,000     Apple, Inc   2.050   09/11/26   1,869,790 
 1,075,000     Apple, Inc   3.350   02/09/27   1,219,079 
 275,000     Apple, Inc   3.200   05/11/27   311,698 
 3,675,000     Apple, Inc   3.000   11/13/27   4,129,414 
 950,000     Apple, Inc   1.650   05/11/30   980,887 
 1,600,000     Apple, Inc   4.500   02/23/36   2,110,088 
 350,000     Apple, Inc   3.850   05/04/43   434,090 
 750,000     Apple, Inc   4.450   05/06/44   999,073 
 1,350,000     Apple, Inc   3.450   02/09/45   1,574,912 
 1,000,000     Apple, Inc   4.375   05/13/45   1,324,483 
 1,775,000     Apple, Inc   4.650   02/23/46   2,430,382 
 900,000     Apple, Inc   3.850   08/04/46   1,121,147 
 1,175,000     Apple, Inc   4.250   02/09/47   1,547,089 
 900,000     Apple, Inc   3.750   09/12/47   1,079,072 
 2,850,000     Apple, Inc   3.750   11/13/47   3,469,886 
 3,000,000     Apple, Inc   2.950   09/11/49   3,290,472 
 1,350,000     Apple, Inc   2.650   05/11/50   1,391,752 
 200,000     Arrow Electronics, Inc   3.500   04/01/22   205,355 
 425,000     Arrow Electronics, Inc   3.250   09/08/24   450,521 
 200,000     Arrow Electronics, Inc   4.000   04/01/25   216,208 
 425,000     Arrow Electronics, Inc   3.875   01/12/28   445,304 
 200,000     Avnet, Inc   3.750   12/01/21   205,226 
 300,000     Avnet, Inc   4.875   12/01/22   320,923 
 200,000     Avnet, Inc   4.625   04/15/26   226,382 
 500,000     Broadcom Corp   2.650   01/15/23   518,607 
 2,250,000     Broadcom Corp   3.125   01/15/25   2,403,439 
 1,750,000     Broadcom Corp   3.875   01/15/27   1,891,859 
 250,000     Broadcom Corp   3.500   01/15/28   264,036 
 400,000     Cisco Systems, Inc   3.000   06/15/22   421,152 
 500,000     Cisco Systems, Inc   2.600   02/28/23   526,672 
82

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$1,100,000     Cisco Systems, Inc   3.625%  03/04/24  $1,228,050 
 400,000     Cisco Systems, Inc   3.500   06/15/25   457,105 
 500,000     Cisco Systems, Inc   2.950   02/28/26   564,290 
 3,000,000     Cisco Systems, Inc   2.500   09/20/26   3,319,309 
 1,000,000     Cisco Systems, Inc   5.900   02/15/39   1,489,702 
 1,175,000     Cisco Systems, Inc   5.500   01/15/40   1,723,261 
 300,000     Corning, Inc   2.900   05/15/22   310,614 
 200,000     Corning, Inc   4.700   03/15/37   235,807 
 100,000     Corning, Inc   5.750   08/15/40   130,691 
 200,000     Corning, Inc   4.750   03/15/42   241,198 
 300,000     Corning, Inc   5.350   11/15/48   396,142 
 500,000     Corning, Inc   3.900   11/15/49   542,669 
 825,000     Corning, Inc   4.375   11/15/57   951,960 
 200,000     Corning, Inc   5.850   11/15/68   253,746 
 1,000,000     Corning, Inc   5.450   11/15/79   1,193,620 
 1,550,000  g  Dell International LLC   4.420   06/15/21   1,593,187 
 4,150,000  g  Dell International LLC   5.450   06/15/23   4,539,321 
 875,000  g  Dell International LLC   4.000   07/15/24   943,209 
 2,925,000  g  Dell International LLC   6.020   06/15/26   3,353,440 
 1,050,000  g  Dell International LLC   4.900   10/01/26   1,156,108 
 1,900,000  g  Dell International LLC   5.300   10/01/29   2,103,381 
 1,125,000  g  Dell International LLC   8.100   07/15/36   1,465,531 
 1,525,000  g  Dell International LLC   8.350   07/15/46   1,980,748 
 800,000     Flex Ltd   4.750   06/15/25   893,047 
 600,000     Flex Ltd   4.875   06/15/29   662,012 
 500,000     Flex Ltd   4.875   05/12/30   555,401 
 200,000     FLIR Systems, Inc   3.125   06/15/21   203,506 
 500,000     Genpact Luxembourg Sarl   3.375   12/01/24   515,970 
 500,000     Hewlett Packard Enterprise Co   3.500   10/05/21   515,862 
 1,000,000     Hewlett Packard Enterprise Co   2.250   04/01/23   1,029,962 
 500,000     Hewlett Packard Enterprise Co   4.450   10/02/23   546,376 
 500,000     Hewlett Packard Enterprise Co   4.650   10/01/24   561,452 
 3,000,000     Hewlett Packard Enterprise Co   4.900   10/15/25   3,469,820 
 225,000     Hewlett Packard Enterprise Co   6.200   10/15/35   280,042 
 1,175,000     Hewlett Packard Enterprise Co   6.350   10/15/45   1,440,549 
 200,000     Hewlett-Packard Co   4.050   09/15/22   214,134 
 975,000     Hewlett-Packard Co   6.000   09/15/41   1,156,964 
 1,000,000     HP, Inc   2.200   06/17/25   1,033,422 
 1,000,000     HP, Inc   3.000   06/17/27   1,048,172 
 1,000,000     HP, Inc   3.400   06/17/30   1,028,032 
 1,000,000     Jabil, Inc   4.700   09/15/22   1,062,194 
 100,000     Jabil, Inc   3.950   01/12/28   107,429 
 750,000     Jabil, Inc   3.600   01/15/30   785,221 
 200,000     Keysight Technologies, Inc   4.550   10/30/24   223,350 
 600,000     Keysight Technologies, Inc   4.600   04/06/27   706,082 
 500,000     Keysight Technologies, Inc   3.000   10/30/29   540,828 
 755,000     Koninklijke Philips Electronics NV   5.000   03/15/42   974,479 
 1,040,000     Motorola Solutions, Inc   3.750   05/15/22   1,093,290 
 250,000     Motorola Solutions, Inc   3.500   03/01/23   265,439 
 200,000     Motorola Solutions, Inc   4.000   09/01/24   220,622 
 450,000     Motorola Solutions, Inc   4.600   02/23/28   511,702 
 500,000     Motorola Solutions, Inc   4.600   05/23/29   577,125 
 200,000     Motorola Solutions, Inc   5.500   09/01/44   224,555 
 200,000     NetApp, Inc   3.375   06/15/21   204,426 
83

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$200,000     NetApp, Inc   3.300%  09/29/24  $215,631 
 500,000     NetApp, Inc   1.875   06/22/25   506,501 
 500,000     NetApp, Inc   2.375   06/22/27   505,835 
 750,000     NetApp, Inc   2.700   06/22/30   751,093 
 925,000     QUALCOMM, Inc   3.000   05/20/22   966,604 
 350,000     QUALCOMM, Inc   2.600   01/30/23   367,379 
 1,225,000     QUALCOMM, Inc   2.900   05/20/24   1,319,913 
 925,000     QUALCOMM, Inc   3.450   05/20/25   1,031,601 
 2,800,000     QUALCOMM, Inc   3.250   05/20/27   3,175,758 
 1,000,000     QUALCOMM, Inc   2.150   05/20/30   1,040,832 
 750,000     QUALCOMM, Inc   4.650   05/20/35   996,579 
 650,000     QUALCOMM, Inc   4.800   05/20/45   849,615 
 1,525,000     QUALCOMM, Inc   4.300   05/20/47   1,901,397 
 101,000     Seagate HDD Cayman   4.875   06/01/27   109,519 
 1,944,000  g  Seagate HDD Cayman   4.091   06/01/29   2,033,154 
 100,000  g  Seagate HDD Cayman   4.125   01/15/31   104,767 
 200,000     Seagate HDD Cayman   5.750   12/01/34   220,488 
 350,000     Tech Data Corp   3.700   02/15/22   357,886 
 350,000     Tech Data Corp   4.950   02/15/27   358,500 
 250,000     Tyco Electronics Group S.A.   3.500   02/03/22   259,934 
 200,000     Tyco Electronics Group S.A.   3.450   08/01/24   216,265 
 100,000     Tyco Electronics Group S.A.   3.700   02/15/26   111,249 
 1,150,000     Tyco Electronics Group S.A.   3.125   08/15/27   1,253,423 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           137,220,120 
                     
TELECOMMUNICATION SERVICES - 1.2%             
 950,000     America Movil SAB de C.V.   3.125   07/16/22   982,737 
 1,000,000     America Movil SAB de C.V.   3.625   04/22/29   1,108,660 
 1,000,000     America Movil SAB de C.V.   2.875   05/07/30   1,055,550 
 440,000     America Movil SAB de C.V.   6.125   03/30/40   624,263 
 1,625,000     America Movil SAB de C.V.   4.375   07/16/42   1,947,396 
 1,500,000     America Movil SAB de C.V.   4.375   04/22/49   1,825,620 
 675,000     AT&T, Inc   3.000   02/15/22   702,852 
 1,075,000     AT&T, Inc   3.200   03/01/22   1,121,757 
 650,000     AT&T, Inc   3.800   03/15/22   684,397 
 625,000     AT&T, Inc   3.000   06/30/22   652,719 
 575,000     AT&T, Inc   2.625   12/01/22   597,975 
 800,000     AT&T, Inc   3.600   02/17/23   858,685 
 650,000     AT&T, Inc   4.050   12/15/23   721,518 
 1,075,000     AT&T, Inc   3.800   03/01/24   1,180,726 
 450,000     AT&T, Inc   3.900   03/11/24   496,822 
 1,675,000     AT&T, Inc   4.450   04/01/24   1,876,534 
 500,000     AT&T, Inc   3.550   06/01/24   546,573 
 625,000     AT&T, Inc   3.950   01/15/25   698,754 
 225,000     AT&T, Inc   3.600   07/15/25   249,892 
 500,000     AT&T, Inc   3.875   01/15/26   562,599 
 2,050,000     AT&T, Inc   4.125   02/17/26   2,336,185 
 750,000     AT&T, Inc   2.950   07/15/26   811,021 
 2,175,000     AT&T, Inc   3.800   02/15/27   2,449,238 
 2,075,000     AT&T, Inc   4.250   03/01/27   2,370,177 
 5,255,000     AT&T, Inc   4.100   02/15/28   6,022,691 
 4,375,000     AT&T, Inc   4.350   03/01/29   5,100,015 
 1,825,000     AT&T, Inc   4.500   05/15/35   2,165,048 
 1,925,000     AT&T, Inc   5.250   03/01/37   2,379,516 
84

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$1,500,000     AT&T, Inc   4.900%  08/15/37  $1,796,776 
 5,275,000     AT&T, Inc   4.850   03/01/39   6,360,380 
 150,000     AT&T, Inc   6.000   08/15/40   201,720 
 175,000     AT&T, Inc   5.350   09/01/40   219,942 
 3,000,000     AT&T, Inc   3.500   06/01/41   3,150,545 
 550,000     AT&T, Inc   5.150   03/15/42   686,283 
 900,000     AT&T, Inc   4.900   06/15/42   1,076,767 
 2,591,000     AT&T, Inc   4.300   12/15/42   2,901,540 
 200,000     AT&T, Inc   5.350   12/15/43   252,057 
 300,000     AT&T, Inc   4.650   06/01/44   342,921 
 1,550,000     AT&T, Inc   4.800   06/15/44   1,834,914 
 3,079,000     AT&T, Inc   4.350   06/15/45   3,463,629 
 3,950,000     AT&T, Inc   4.850   07/15/45   4,692,054 
 350,000     AT&T, Inc   4.750   05/15/46   414,471 
 175,000     AT&T, Inc   5.150   11/15/46   220,061 
 2,900,000     AT&T, Inc   5.450   03/01/47   3,793,312 
 2,125,000     AT&T, Inc   4.500   03/09/48   2,493,580 
 1,250,000     AT&T, Inc   5.150   02/15/50   1,602,213 
 2,000,000     AT&T, Inc   3.650   06/01/51   2,086,378 
 2,750,000     AT&T, Inc   5.300   08/15/58   3,577,057 
 1,000,000     AT&T, Inc   3.850   06/01/60   1,059,798 
 750,000     Bell Canada, Inc   4.464   04/01/48   948,525 
 750,000     Bell Canada, Inc   4.300   07/29/49   919,782 
 750,000     British Telecommunications plc   4.500   12/04/23   830,281 
 750,000     British Telecommunications plc   5.125   12/04/28   926,831 
 1,425,000     British Telecommunications plc   9.625   12/15/30   2,330,167 
 2,690,000     Deutsche Telekom International Finance BV   8.750   06/15/30   4,189,838 
 2,000,000     Orange S.A.   4.125   09/14/21   2,089,825 
 745,000     Orange S.A.   9.000   03/01/31   1,215,188 
 900,000     Orange S.A.   5.375   01/13/42   1,260,088 
 725,000     Orange S.A.   5.500   02/06/44   1,055,327 
 200,000     Rogers Communications, Inc   4.100   10/01/23   222,248 
 1,713,000     Rogers Communications, Inc   3.625   12/15/25   1,942,819 
 200,000     Rogers Communications, Inc   2.900   11/15/26   217,070 
 125,000     Rogers Communications, Inc   4.500   03/15/43   148,346 
 300,000     Rogers Communications, Inc   5.450   10/01/43   398,506 
 600,000     Rogers Communications, Inc   5.000   03/15/44   765,850 
 150,000     Rogers Communications, Inc   4.300   02/15/48   177,961 
 1,500,000     Rogers Communications, Inc   4.350   05/01/49   1,836,865 
 1,300,000     Rogers Communications, Inc   3.700   11/15/49   1,430,607 
 225,000     Telefonica Emisiones SAU   4.570   04/27/23   247,082 
 1,500,000     Telefonica Emisiones SAU   4.103   03/08/27   1,712,084 
 625,000     Telefonica Emisiones SAU   7.045   06/20/36   908,413 
 1,200,000     Telefonica Emisiones SAU   4.665   03/06/38   1,432,127 
 2,125,000     Telefonica Emisiones SAU   5.213   03/08/47   2,664,031 
 1,175,000     Telefonica Emisiones SAU   4.895   03/06/48   1,425,966 
 900,000     Telefonica Emisiones SAU   5.520   03/01/49   1,183,170 
 567,000     Telefonica Europe BV   8.250   09/15/30   872,874 
 325,000     TELUS Corp   2.800   02/16/27   343,885 
 300,000     TELUS Corp   3.700   09/15/27   332,808 
 500,000     TELUS Corp   4.600   11/16/48   610,058 
 750,000     TELUS Corp   4.300   06/15/49   870,970 
 1,500,000  g  T-Mobile USA, Inc   3.500   04/15/25   1,635,030 
 4,000,000  g  T-Mobile USA, Inc   1.500   02/15/26   3,999,720 
85

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$1,500,000  g  T-Mobile USA, Inc   3.750%  04/15/27  $1,664,250 
 2,000,000  g  T-Mobile USA, Inc   2.050   02/15/28   2,000,940 
 825,000  g  T-Mobile USA, Inc   3.875   04/15/30   919,520 
 1,275,000  g  T-Mobile USA, Inc   2.550   02/15/31   1,279,488 
 650,000  g  T-Mobile USA, Inc   4.375   04/15/40   751,868 
 4,725,000  g  T-Mobile USA, Inc   4.500   04/15/50   5,565,814 
 475,000     Verizon Communications, Inc   2.946   03/15/22   495,425 
 350,000     Verizon Communications, Inc   5.150   09/15/23   398,380 
 575,000     Verizon Communications, Inc   3.500   11/01/24   636,439 
 700,000     Verizon Communications, Inc   2.625   08/15/26   761,634 
 125,000     Verizon Communications, Inc   3.000   03/22/27   138,644 
 6,641,000     Verizon Communications, Inc   4.329   09/21/28   7,994,605 
 350,000     Verizon Communications, Inc   3.875   02/08/29   414,202 
 9,005,000     Verizon Communications, Inc   4.016   12/03/29   10,763,957 
 200,000     Verizon Communications, Inc   3.150   03/22/30   226,066 
 2,975,000     Verizon Communications, Inc   4.500   08/10/33   3,704,717 
 3,250,000     Verizon Communications, Inc   4.400   11/01/34   4,038,436 
 3,775,000     Verizon Communications, Inc   4.272   01/15/36   4,673,619 
 325,000     Verizon Communications, Inc   5.250   03/16/37   439,850 
 11,875,000     Verizon Communications, Inc   5.012   04/15/49   16,555,124 
 150,000     Verizon Communications, Inc   4.000   03/22/50   188,835 
 4,000,000     Vodafone Group plc   4.125   05/30/25   4,541,941 
 4,425,000     Vodafone Group plc   4.375   05/30/28   5,261,645 
 425,000     Vodafone Group plc   6.150   02/27/37   594,843 
 925,000     Vodafone Group plc   5.000   05/30/38   1,162,207 
 1,900,000     Vodafone Group plc   4.375   02/19/43   2,210,471 
 1,450,000     Vodafone Group plc   5.250   05/30/48   1,907,867 
 1,000,000     Vodafone Group plc   4.875   06/19/49   1,252,982 
 1,000,000     Vodafone Group plc   4.250   09/17/50   1,190,781 
 500,000     Vodafone Group plc   5.125   06/19/59   654,090 
       TOTAL TELECOMMUNICATION SERVICES           207,889,300 
                     
TRANSPORTATION - 0.8%             
 698,626     American Airlines, Inc   3.000   10/15/28   640,709 
 275,000     Boeing Co   2.300   08/01/21   277,486 
 300,000     Boeing Co   2.700   05/01/22   304,117 
 750,000     Boeing Co   2.800   03/01/23   764,001 
 300,000     Boeing Co   2.800   03/01/24   304,439 
 1,000,000     Boeing Co   4.875   05/01/25   1,088,853 
 400,000     Boeing Co   2.600   10/30/25   398,177 
 300,000     Boeing Co   3.100   05/01/26   305,749 
 200,000     Boeing Co   2.250   06/15/26   193,330 
 500,000     Boeing Co   2.700   02/01/27   488,301 
 250,000     Boeing Co   2.800   03/01/27   241,193 
 1,000,000     Boeing Co   5.040   05/01/27   1,102,630 
 500,000     Boeing Co   3.250   03/01/28   498,137 
 125,000     Boeing Co   3.450   11/01/28   122,110 
 600,000     Boeing Co   3.200   03/01/29   593,452 
 750,000     Boeing Co   2.950   02/01/30   732,415 
 1,000,000     Boeing Co   5.150   05/01/30   1,115,685 
 300,000     Boeing Co   3.600   05/01/34   283,488 
 425,000     Boeing Co   3.250   02/01/35   387,389 
 500,000     Boeing Co   3.550   03/01/38   455,211 
 600,000     Boeing Co   3.500   03/01/39   528,036 
86

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$350,000     Boeing Co   5.875%  02/15/40  $391,302 
 2,000,000     Boeing Co   5.705   05/01/40   2,261,858 
 300,000     Boeing Co   3.375   06/15/46   248,611 
 250,000     Boeing Co   3.650   03/01/47   217,408 
 100,000     Boeing Co   3.625   03/01/48   87,797 
 100,000     Boeing Co   3.850   11/01/48   89,382 
 5,000,000     Boeing Co   5.805   05/01/50   5,899,519 
 125,000     Boeing Co   3.825   03/01/59   105,982 
 750,000     Boeing Co   3.950   08/01/59   656,950 
 4,000,000     Boeing Co   5.930   05/01/60   4,726,536 
 300,000     Burlington Northern Santa Fe LLC   3.050   03/15/22   312,025 
 150,000     Burlington Northern Santa Fe LLC   3.050   09/01/22   157,346 
 1,100,000     Burlington Northern Santa Fe LLC   3.850   09/01/23   1,204,785 
 500,000     Burlington Northern Santa Fe LLC   3.750   04/01/24   552,965 
 150,000     Burlington Northern Santa Fe LLC   3.400   09/01/24   165,038 
 300,000     Burlington Northern Santa Fe LLC   3.000   04/01/25   329,919 
 700,000     Burlington Northern Santa Fe LLC   3.650   09/01/25   795,492 
 660,000     Burlington Northern Santa Fe LLC   5.750   05/01/40   930,775 
 250,000     Burlington Northern Santa Fe LLC   5.050   03/01/41   330,902 
 200,000     Burlington Northern Santa Fe LLC   4.400   03/15/42   250,382 
 300,000     Burlington Northern Santa Fe LLC   4.450   03/15/43   378,699 
 500,000     Burlington Northern Santa Fe LLC   5.150   09/01/43   690,843 
 500,000     Burlington Northern Santa Fe LLC   4.900   04/01/44   668,055 
 600,000     Burlington Northern Santa Fe LLC   4.550   09/01/44   788,272 
 1,275,000     Burlington Northern Santa Fe LLC   4.150   04/01/45   1,578,519 
 200,000     Burlington Northern Santa Fe LLC   4.700   09/01/45   266,656 
 1,150,000     Burlington Northern Santa Fe LLC   3.900   08/01/46   1,382,410 
 400,000     Burlington Northern Santa Fe LLC   4.125   06/15/47   498,148 
 1,175,000     Burlington Northern Santa Fe LLC   4.050   06/15/48   1,468,282 
 1,025,000     Burlington Northern Santa Fe LLC   4.150   12/15/48   1,302,364 
 750,000     Burlington Northern Santa Fe LLC   3.550   02/15/50   869,377 
 750,000     Burlington Northern Santa Fe LLC   3.050   02/15/51   814,039 
 100,000     Canadian National Railway Co   2.850   12/15/21   102,835 
 300,000     Canadian National Railway Co   2.250   11/15/22   309,932 
 200,000     Canadian National Railway Co   2.950   11/21/24   216,089 
 200,000     Canadian National Railway Co   6.900   07/15/28   275,639 
 200,000     Canadian National Railway Co   6.250   08/01/34   296,700 
 250,000     Canadian National Railway Co   3.500   11/15/42   277,363 
 100,000     Canadian National Railway Co   4.500   11/07/43   126,902 
 650,000     Canadian National Railway Co   3.200   08/02/46   717,813 
 725,000     Canadian National Railway Co   3.650   02/03/48   847,225 
 325,000     Canadian National Railway Co   4.450   01/20/49   430,514 
 400,000     Canadian National Railway Co   2.450   05/01/50   387,236 
 1,800,000     Canadian Pacific Railway Co   2.900   02/01/25   1,950,543 
 300,000     Canadian Pacific Railway Co   4.000   06/01/28   348,093 
 100,000     Canadian Pacific Railway Co   2.050   03/05/30   102,322 
 200,000     Canadian Pacific Railway Co   7.125   10/15/31   293,721 
 250,000     Canadian Pacific Railway Co   5.950   05/15/37   364,186 
 775,000     Canadian Pacific Railway Co   6.125   09/15/15   1,190,668 
 400,000     CH Robinson Worldwide, Inc   4.200   04/15/28   455,635 
 195,664     Continental Airlines, Inc   4.750   01/12/21   192,824 
 20,643     Continental Airlines, Inc   5.983   04/19/22   19,361 
 327,735     Continental Airlines, Inc   4.150   04/11/24   307,083 
 134,902     Continental Airlines, Inc   4.000   10/29/24   123,069 
87

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$125,000     CSX Corp   3.700%  11/01/23  $137,246 
 300,000     CSX Corp   3.400   08/01/24   330,009 
 200,000     CSX Corp   3.350   11/01/25   224,287 
 1,200,000     CSX Corp   2.600   11/01/26   1,305,150 
 825,000     CSX Corp   4.250   03/15/29   986,452 
 600,000     CSX Corp   2.400   02/15/30   633,728 
 100,000     CSX Corp   6.000   10/01/36   137,147 
 200,000     CSX Corp   6.150   05/01/37   278,522 
 400,000     CSX Corp   5.500   04/15/41   550,275 
 350,000     CSX Corp   4.400   03/01/43   428,654 
 600,000     CSX Corp   4.100   03/15/44   731,521 
 800,000     CSX Corp   3.800   11/01/46   906,614 
 1,050,000     CSX Corp   4.300   03/01/48   1,306,587 
 850,000     CSX Corp   4.750   11/15/48   1,128,038 
 500,000     CSX Corp   4.500   03/15/49   640,856 
 600,000     CSX Corp   3.350   09/15/49   659,546 
 1,000,000     CSX Corp   3.800   04/15/50   1,185,742 
 200,000     CSX Corp   3.950   05/01/50   240,836 
 300,000     CSX Corp   4.500   08/01/54   379,770 
 150,000     CSX Corp   4.250   11/01/66   181,077 
 300,000     CSX Corp   4.650   03/01/68   390,904 
 100,609     Delta Air Lines, Inc   3.625   07/30/27   99,493 
 300,000     Delta Air Lines, Inc   2.000   06/10/28   285,932 
 175,000     FedEx Corp   3.400   01/14/22   182,019 
 300,000     FedEx Corp   4.000   01/15/24   331,826 
 100,000     FedEx Corp   3.200   02/01/25   108,175 
 500,000     FedEx Corp   3.800   05/15/25   555,792 
 500,000     FedEx Corp   3.250   04/01/26   543,319 
 400,000     FedEx Corp   3.300   03/15/27   430,350 
 1,250,000     FedEx Corp   3.400   02/15/28   1,346,555 
 500,000     FedEx Corp   4.200   10/17/28   562,067 
 2,000,000     FedEx Corp   3.100   08/05/29   2,134,333 
 500,000     FedEx Corp   4.250   05/15/30   570,933 
 1,000,000     FedEx Corp   4.900   01/15/34   1,209,266 
 200,000     FedEx Corp   3.900   02/01/35   216,087 
 275,000     FedEx Corp   5.100   01/15/44   320,757 
 1,100,000     FedEx Corp   4.750   11/15/45   1,212,428 
 600,000     FedEx Corp   4.550   04/01/46   647,504 
 450,000     FedEx Corp   4.400   01/15/47   477,015 
 900,000     FedEx Corp   4.050   02/15/48   924,585 
 500,000     FedEx Corp   4.950   10/17/48   579,887 
 500,000     FedEx Corp   5.250   05/15/50   610,433 
 200,000     FedEx Corp   4.500   02/01/65   206,657 
 200,000     GATX Corp   4.350   02/15/24   217,907 
 500,000     GATX Corp   3.250   09/15/26   523,267 
 200,000     GATX Corp   3.500   03/15/28   204,469 
 200,000     GATX Corp   4.550   11/07/28   221,361 
 425,000     GATX Corp   4.700   04/01/29   478,599 
 500,000     GATX Corp   4.000   06/30/30   537,269 
 225,000     GATX Corp   5.200   03/15/44   263,410 
 200,000     JB Hunt Transport Services, Inc   3.300   08/15/22   207,508 
 500,000     JB Hunt Transport Services, Inc   3.875   03/01/26   571,671 
 493,904     JetBlue Pass Through Trust   2.750   05/15/32   468,164 
 100,000     Kansas City Southern   3.000   05/15/23   102,107 
88

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$100,000     Kansas City Southern   3.125%  06/01/26  $105,187 
 500,000     Kansas City Southern   2.875   11/15/29   527,627 
 100,000     Kansas City Southern   4.300   05/15/43   118,774 
 175,000     Kansas City Southern   4.950   08/15/45   224,744 
 800,000     Kansas City Southern   4.700   05/01/48   1,008,706 
 500,000     Kansas City Southern   3.500   05/01/50   538,375 
 500,000     Kansas City Southern   4.200   11/15/69   558,277 
 350,000     Kirby Corp   4.200   03/01/28   354,308 
 100,000     Norfolk Southern Corp   3.250   12/01/21   102,981 
 250,000     Norfolk Southern Corp   3.000   04/01/22   259,818 
 1,291,000     Norfolk Southern Corp   2.903   02/15/23   1,362,194 
 350,000     Norfolk Southern Corp   2.900   06/15/26   387,545 
 300,000     Norfolk Southern Corp   3.150   06/01/27   328,748 
 700,000     Norfolk Southern Corp   3.800   08/01/28   813,100 
 16,000     Norfolk Southern Corp   4.837   10/01/41   20,758 
 300,000     Norfolk Southern Corp   4.450   06/15/45   373,316 
 200,000     Norfolk Southern Corp   4.650   01/15/46   260,564 
 303,000     Norfolk Southern Corp   3.942   11/01/47   356,138 
 1,450,000     Norfolk Southern Corp   4.150   02/28/48   1,769,866 
 500,000     Norfolk Southern Corp   4.100   05/15/49   605,120 
 500,000     Norfolk Southern Corp   3.400   11/01/49   544,520 
 1,000,000     Norfolk Southern Corp   3.050   05/15/50   1,029,137 
 175,000     Norfolk Southern Corp   4.050   08/15/52   210,422 
 1,170,000  g  Norfolk Southern Corp   3.155   05/15/55   1,195,571 
 1,000,000     Northrop Grumman Corp   5.250   05/01/50   1,437,982 
 500,000     Ryder System, Inc   3.500   06/01/21   510,858 
 500,000     Ryder System, Inc   2.875   06/01/22   517,293 
 500,000     Ryder System, Inc   2.500   09/01/22   514,528 
 200,000     Ryder System, Inc   3.400   03/01/23   209,647 
 200,000     Ryder System, Inc   3.750   06/09/23   213,249 
 200,000     Ryder System, Inc   3.875   12/01/23   215,764 
 550,000     Ryder System, Inc   3.650   03/18/24   587,353 
 500,000     Ryder System, Inc   2.500   09/01/24   515,714 
 300,000     Ryder System, Inc   4.625   06/01/25   334,642 
 500,000     Ryder System, Inc   3.350   09/01/25   532,725 
 500,000     Ryder System, Inc   2.900   12/01/26   517,090 
 200,000     Southwest Airlines Co   2.750   11/16/22   201,679 
 1,250,000     Southwest Airlines Co   4.750   05/04/23   1,290,705 
 500,000     Southwest Airlines Co   5.250   05/04/25   527,440 
 200,000     Southwest Airlines Co   3.000   11/15/26   194,680 
 500,000     Southwest Airlines Co   5.125   06/15/27   518,372 
 200,000     Southwest Airlines Co   3.450   11/16/27   197,249 
 300,000     Southwest Airlines Co   2.625   02/10/30   268,722 
 73,223     Spirit Airlines, Inc   4.100   04/01/28   62,032 
 300,000     Union Pacific Corp   3.200   06/08/21   307,428 
 300,000     Union Pacific Corp   2.950   03/01/22   311,759 
 506,000     Union Pacific Corp   4.163   07/15/22   538,460 
 500,000     Union Pacific Corp   2.950   01/15/23   528,284 
 300,000     Union Pacific Corp   3.500   06/08/23   324,985 
 277,000     Union Pacific Corp   3.646   02/15/24   303,030 
 300,000     Union Pacific Corp   3.150   03/01/24   325,598 
 200,000     Union Pacific Corp   3.750   03/15/24   220,512 
 200,000     Union Pacific Corp   3.250   01/15/25   219,992 
 500,000     Union Pacific Corp   3.750   07/15/25   566,102 
89

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$200,000     Union Pacific Corp   3.250%  08/15/25  $221,768 
 300,000     Union Pacific Corp   2.750   03/01/26   326,681 
 500,000     Union Pacific Corp   2.150   02/05/27   527,730 
 1,825,000     Union Pacific Corp   3.950   09/10/28   2,166,390 
 700,000     Union Pacific Corp   3.700   03/01/29   817,337 
 100,000     Union Pacific Corp   3.375   02/01/35   112,583 
 100,000     Union Pacific Corp   3.600   09/15/37   110,727 
 925,000     Union Pacific Corp   4.375   09/10/38   1,138,998 
 500,000     Union Pacific Corp   3.550   08/15/39   560,774 
 100,000     Union Pacific Corp   4.300   06/15/42   121,474 
 150,000     Union Pacific Corp   4.250   04/15/43   181,090 
 200,000     Union Pacific Corp   4.050   11/15/45   237,629 
 200,000     Union Pacific Corp   3.350   08/15/46   215,787 
 300,000     Union Pacific Corp   4.000   04/15/47   360,382 
 1,775,000     Union Pacific Corp   4.300   03/01/49   2,270,565 
 1,000,000     Union Pacific Corp   3.250   02/05/50   1,093,588 
 1,070,000     Union Pacific Corp   3.799   10/01/51   1,285,923 
 200,000     Union Pacific Corp   3.875   02/01/55   238,923 
 300,000     Union Pacific Corp   3.950   08/15/59   356,799 
 1,925,000     Union Pacific Corp   3.839   03/20/60   2,261,089 
 300,000     Union Pacific Corp   4.375   11/15/65   373,418 
 200,000     Union Pacific Corp   4.100   09/15/67   239,648 
 500,000     Union Pacific Corp   3.750   02/05/70   556,640 
 165,665     Union Pacific Railroad Co   2.695   05/12/27   177,000 
 500,000     United Parcel Service, Inc   2.350   05/16/22   517,043 
 1,675,000     United Parcel Service, Inc   2.450   10/01/22   1,745,518 
 500,000     United Parcel Service, Inc   2.200   09/01/24   527,100 
 300,000     United Parcel Service, Inc   2.800   11/15/24   325,030 
 125,000     United Parcel Service, Inc   2.400   11/15/26   136,131 
 875,000     United Parcel Service, Inc   3.050   11/15/27   990,938 
 500,000     United Parcel Service, Inc   3.400   03/15/29   578,416 
 500,000     United Parcel Service, Inc   2.500   09/01/29   544,373 
 750,000     United Parcel Service, Inc   4.450   04/01/30   936,713 
 510,000     United Parcel Service, Inc   6.200   01/15/38   766,168 
 450,000     United Parcel Service, Inc   3.625   10/01/42   511,830 
 400,000     United Parcel Service, Inc   3.400   11/15/46   431,741 
 1,550,000     United Parcel Service, Inc   3.750   11/15/47   1,787,869 
 300,000     United Parcel Service, Inc   4.250   03/15/49   373,957 
 500,000     United Parcel Service, Inc   3.400   09/01/49   551,516 
 1,130,000     United Parcel Service, Inc   5.300   04/01/50   1,614,444 
       TOTAL TRANSPORTATION           135,056,805 
                     
UTILITIES - 2.3%             
 200,000     AEP Texas, Inc   2.400   10/01/22   207,654 
 200,000     AEP Texas, Inc   3.950   06/01/28   227,429 
 550,000     AEP Texas, Inc   2.100   07/01/30   548,547 
 200,000     AEP Texas, Inc   3.800   10/01/47   225,889 
 100,000     AEP Texas, Inc   4.150   05/01/49   118,136 
 550,000     AEP Texas, Inc   3.450   01/15/50   592,501 
 200,000     AEP Transmission Co LLC   3.100   12/01/26   223,796 
 600,000     AEP Transmission Co LLC   4.000   12/01/46   720,174 
 500,000     AEP Transmission Co LLC   3.750   12/01/47   573,425 
 200,000     AEP Transmission Co LLC   4.250   09/15/48   247,965 
 300,000     AEP Transmission Co LLC   3.800   06/15/49   353,529 
90

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$300,000     AEP Transmission Co LLC   3.150%  09/15/49  $322,760 
 200,000     Alabama Power Co   2.450   03/30/22   206,325 
 475,000     Alabama Power Co   3.550   12/01/23   517,584 
 200,000     Alabama Power Co   3.850   12/01/42   236,096 
 400,000     Alabama Power Co   3.750   03/01/45   453,588 
 300,000     Alabama Power Co   4.300   01/02/46   366,307 
 750,000     Alabama Power Co   3.700   12/01/47   855,155 
 1,000,000     Alabama Power Co   4.300   07/15/48   1,231,471 
 500,000     Alabama Power Co   3.450   10/01/49   554,976 
 300,000     Ameren Corp   2.700   11/15/20   301,835 
 350,000     Ameren Corp   2.500   09/15/24   370,876 
 600,000     Ameren Illinois Co   2.700   09/01/22   623,388 
 300,000     Ameren Illinois Co   3.800   05/15/28   346,132 
 125,000     Ameren Illinois Co   4.150   03/15/46   155,443 
 1,150,000     Ameren Illinois Co   3.700   12/01/47   1,328,696 
 575,000     Ameren Illinois Co   4.500   03/15/49   751,632 
 300,000     American Electric Power Co, Inc   3.650   12/01/21   312,870 
 350,000     American Electric Power Co, Inc   3.200   11/13/27   384,461 
 700,000     American Electric Power Co, Inc   4.300   12/01/28   823,006 
 500,000     American Electric Power Co, Inc   2.300   03/01/30   504,422 
 500,000     American Electric Power Co, Inc   3.250   03/01/50   512,266 
 500,000     American Water Capital Corp   3.850   03/01/24   554,054 
 300,000     American Water Capital Corp   3.400   03/01/25   333,200 
 200,000     American Water Capital Corp   2.950   09/01/27   220,157 
 500,000     American Water Capital Corp   3.750   09/01/28   578,712 
 750,000     American Water Capital Corp   3.450   06/01/29   858,835 
 100,000     American Water Capital Corp   2.800   05/01/30   108,727 
 225,000     American Water Capital Corp   4.300   12/01/42   275,884 
 150,000     American Water Capital Corp   4.300   09/01/45   187,413 
 100,000     American Water Capital Corp   4.000   12/01/46   120,549 
 1,175,000     American Water Capital Corp   3.750   09/01/47   1,364,247 
 500,000     American Water Capital Corp   4.200   09/01/48   622,154 
 500,000     American Water Capital Corp   4.150   06/01/49   619,366 
 175,000     American Water Capital Corp   3.450   05/01/50   196,614 
 200,000     Appalachian Power Co   3.300   06/01/27   215,835 
 300,000     Appalachian Power Co   4.500   03/01/49   371,906 
 775,000     Appalachian Power Co   3.700   05/01/50   849,676 
 125,000     Aqua America, Inc   3.566   05/01/29   138,752 
 200,000     Aqua America, Inc   4.276   05/01/49   239,136 
 200,000     Arizona Public Service Co   2.950   09/15/27   216,899 
 750,000     Arizona Public Service Co   2.600   08/15/29   792,030 
 350,000     Arizona Public Service Co   4.500   04/01/42   427,170 
 200,000     Arizona Public Service Co   4.350   11/15/45   242,156 
 410,000     Arizona Public Service Co   3.750   05/15/46   463,417 
 200,000     Arizona Public Service Co   4.200   08/15/48   240,544 
 200,000     Arizona Public Service Co   4.250   03/01/49   234,513 
 300,000     Arizona Public Service Co   3.500   12/01/49   324,694 
 500,000     Arizona Public Service Co   3.350   05/15/50   533,873 
 900,000     Atlantic City Electric Co   4.000   10/15/28   1,047,239 
 650,000     Atmos Energy Corp   3.000   06/15/27   716,895 
 500,000     Atmos Energy Corp   2.625   09/15/29   545,824 
 100,000     Atmos Energy Corp   5.500   06/15/41   138,056 
 125,000     Atmos Energy Corp   4.150   01/15/43   151,776 
 600,000     Atmos Energy Corp   4.125   10/15/44   739,524 
91

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$500,000     Atmos Energy Corp   4.300%  10/01/48  $636,705 
 300,000     Atmos Energy Corp   4.125   03/15/49   372,472 
 500,000     Atmos Energy Corp   3.375   09/15/49   561,609 
 500,000     Avangrid, Inc   3.150   12/01/24   539,797 
 300,000     Avangrid, Inc   3.200   04/15/25   327,834 
 625,000     Avangrid, Inc   3.800   06/01/29   725,737 
 150,000     Avista Corp   4.350   06/01/48   184,741 
 100,000     Baltimore Gas & Electric Co   3.500   11/15/21   103,232 
 200,000     Baltimore Gas & Electric Co   2.400   08/15/26   214,919 
 150,000     Baltimore Gas & Electric Co   3.500   08/15/46   168,020 
 200,000     Baltimore Gas & Electric Co   3.750   08/15/47   231,898 
 200,000     Baltimore Gas & Electric Co   4.250   09/15/48   249,591 
 500,000     Baltimore Gas & Electric Co   3.200   09/15/49   530,367 
 775,000     Baltimore Gas and Electric Co   2.900   06/15/50   790,446 
 200,000     Berkshire Hathaway Energy Co   2.800   01/15/23   211,034 
 350,000     Berkshire Hathaway Energy Co   3.500   02/01/25   390,307 
 175,000     Berkshire Hathaway Energy Co   3.250   04/15/28   197,875 
 950,000     Berkshire Hathaway Energy Co   6.125   04/01/36   1,369,561 
 1,032,000     Berkshire Hathaway Energy Co   5.950   05/15/37   1,455,201 
 725,000     Berkshire Hathaway Energy Co   5.150   11/15/43   990,380 
 975,000     Berkshire Hathaway Energy Co   4.500   02/01/45   1,232,835 
 1,250,000     Berkshire Hathaway Energy Co   3.800   07/15/48   1,452,861 
 1,025,000     Berkshire Hathaway Energy Co   4.450   01/15/49   1,312,130 
 200,000     Black Hills Corp   4.250   11/30/23   217,771 
 100,000     Black Hills Corp   3.950   01/15/26   109,923 
 100,000     Black Hills Corp   3.150   01/15/27   105,076 
 550,000     Black Hills Corp   2.500   06/15/30   561,840 
 300,000     Black Hills Corp   4.350   05/01/33   341,276 
 200,000     Black Hills Corp   4.200   09/15/46   215,980 
 400,000     CenterPoint Energy Houston Electric LLC   2.250   08/01/22   411,466 
 200,000     CenterPoint Energy Houston Electric LLC   2.400   09/01/26   214,649 
 300,000     CenterPoint Energy Houston Electric LLC   3.000   02/01/27   323,436 
 100,000     CenterPoint Energy Houston Electric LLC   6.950   03/15/33   148,052 
 300,000     CenterPoint Energy Houston Electric LLC   3.950   03/01/48   363,628 
 750,000     CenterPoint Energy Houston Electric LLC   4.250   02/01/49   951,802 
 150,000     CenterPoint Energy Houston Electric LLC   2.900   07/01/50   156,176 
 200,000     CenterPoint Energy Resources Corp   4.000   04/01/28   225,940 
 700,000     CenterPoint Energy Resources Corp   4.100   09/01/47   795,361 
 400,000     CenterPoint Energy, Inc   3.600   11/01/21   415,333 
 300,000     CenterPoint Energy, Inc   2.500   09/01/22   310,492 
 425,000     CenterPoint Energy, Inc   3.850   02/01/24   464,666 
 500,000     CenterPoint Energy, Inc   2.500   09/01/24   528,236 
 450,000     CenterPoint Energy, Inc   4.250   11/01/28   523,126 
 750,000     CenterPoint Energy, Inc   2.950   03/01/30   796,513 
 500,000     CenterPoint Energy, Inc   3.700   09/01/49   541,359 
 3,200,000  g  Cheniere Corpus Christi Holdings LLC   3.700   11/15/29   3,276,646 
 425,000     Cleco Corporate Holdings LLC   3.743   05/01/26   450,207 
 300,000  g  Cleco Corporate Holdings LLC   3.375   09/15/29   312,200 
 200,000     Cleco Corporate Holdings LLC   4.973   05/01/46   211,044 
 790,000     CMS Energy Corp   3.450   08/15/27   867,700 
 775,000     Commonwealth Edison Co   4.000   08/01/20   777,085 
 250,000     Commonwealth Edison Co   2.550   06/15/26   272,499 
 1,355,000     Commonwealth Edison Co   2.950   08/15/27   1,486,797 
 300,000     Commonwealth Edison Co   3.700   08/15/28   347,446 
92

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$500,000     Commonwealth Edison Co   2.200%  03/01/30  $526,349 
 200,000     Commonwealth Edison Co   3.800   10/01/42   231,936 
 300,000     Commonwealth Edison Co   4.700   01/15/44   394,585 
 100,000     Commonwealth Edison Co   3.700   03/01/45   117,309 
 250,000     Commonwealth Edison Co   3.650   06/15/46   292,778 
 400,000     Commonwealth Edison Co   3.750   08/15/47   475,432 
 1,175,000     Commonwealth Edison Co   4.000   03/01/48   1,449,899 
 1,300,000     Commonwealth Edison Co   4.000   03/01/49   1,615,419 
 500,000     Commonwealth Edison Co   3.200   11/15/49   541,734 
 500,000     Commonwealth Edison Co   3.000   03/01/50   527,030 
 625,000     Connecticut Light & Power Co   3.200   03/15/27   688,432 
 400,000     Connecticut Light & Power Co   4.300   04/15/44   511,910 
 250,000     Connecticut Light & Power Co   4.150   06/01/45   310,182 
 775,000     Connecticut Light & Power Co   4.000   04/01/48   944,888 
 200,000     Consolidated Edison Co of New York, Inc   3.800   05/15/28   233,342 
 300,000     Consolidated Edison Co of New York, Inc   4.000   12/01/28   355,088 
 100,000     Consolidated Edison Co of New York, Inc   3.350   04/01/30   113,799 
 200,000     Consolidated Edison Co of New York, Inc   4.200   03/15/42   240,192 
 550,000     Consolidated Edison Co of New York, Inc   3.950   03/01/43   635,574 
 1,475,000     Consolidated Edison Co of New York, Inc   4.450   03/15/44   1,791,053 
 150,000     Consolidated Edison Co of New York, Inc   4.500   12/01/45   184,679 
 400,000     Consolidated Edison Co of New York, Inc   3.850   06/15/46   459,809 
 400,000     Consolidated Edison Co of New York, Inc   3.875   06/15/47   462,050 
 300,000     Consolidated Edison Co of New York, Inc   4.650   12/01/48   384,956 
 500,000     Consolidated Edison Co of New York, Inc   4.125   05/15/49   608,714 
 700,000     Consolidated Edison Co of New York, Inc   3.950   04/01/50   833,000 
 850,000     Consolidated Edison Co of New York, Inc   4.625   12/01/54   1,078,785 
 200,000     Consolidated Edison Co of New York, Inc   4.300   12/01/56   237,861 
 1,300,000     Consolidated Edison Co of New York, Inc   4.000   11/15/57   1,494,266 
 400,000     Consolidated Edison Co of New York, Inc   4.500   05/15/58   503,151 
 1,000,000     Consolidated Edison Co of New York, Inc   3.700   11/15/59   1,115,094 
 150,000     Consumers Energy Co   2.850   05/15/22   156,179 
 200,000     Consumers Energy Co   3.375   08/15/23   215,231 
 250,000     Consumers Energy Co   3.800   11/15/28   296,823 
 600,000     Consumers Energy Co   3.950   07/15/47   740,225 
 600,000     Consumers Energy Co   4.050   05/15/48   754,358 
 350,000     Consumers Energy Co   4.350   04/15/49   462,215 
 500,000     Consumers Energy Co   3.750   02/15/50   609,510 
 500,000     Consumers Energy Co   3.100   08/15/50   556,100 
 150,000     Consumers Energy Co   3.500   08/01/51   176,653 
 1,000,000     Consumers Energy Co   2.500   05/01/60   953,279 
 300,000     Dayton Power & Light Co   3.950   06/15/49   319,560 
 200,000     Delmarva Power & Light Co   4.150   05/15/45   242,316 
 200,000     Dominion Energy Gas Holdings LLC   3.550   11/01/23   214,954 
 250,000     Dominion Energy Gas Holdings LLC   2.500   11/15/24   263,556 
 200,000     Dominion Energy Gas Holdings LLC   3.600   12/15/24   219,484 
 750,000     Dominion Energy Gas Holdings LLC   3.000   11/15/29   800,741 
 200,000     Dominion Energy Gas Holdings LLC   4.800   11/01/43   235,439 
 200,000     Dominion Energy Gas Holdings LLC   4.600   12/15/44   228,143 
 550,000     Dominion Energy Gas Holdings LLC   3.900   11/15/49   577,242 
 500,000     Dominion Energy, Inc   2.579   07/01/20   500,000 
 300,000     Dominion Energy, Inc   3.300   03/15/25   326,972 
 1,750,000     Dominion Energy, Inc   3.900   10/01/25   1,982,266 
 775,000     Dominion Energy, Inc   3.600   03/15/27   857,275 
93

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$500,000     Dominion Energy, Inc   4.250%  06/01/28  $575,284 
 200,000     Dominion Energy, Inc   4.700   12/01/44   246,844 
 500,000     Dominion Energy, Inc   4.600   03/15/49   629,500 
 350,000     Dominion Energy, Inc (Step Bond)   2.715   08/15/21   357,699 
 225,000     Dominion Energy, Inc (Step Bond)   3.071   08/15/24   241,703 
 400,000     DTE Electric Co   3.450   10/01/20   400,000 
 200,000     DTE Electric Co   3.650   03/15/24   218,733 
 200,000     DTE Electric Co   4.000   04/01/43   239,185 
 100,000     DTE Electric Co   3.700   06/01/46   115,919 
 500,000     DTE Electric Co   3.750   08/15/47   590,995 
 1,000,000     DTE Electric Co   4.050   05/15/48   1,231,484 
 525,000     DTE Electric Co   3.950   03/01/49   638,507 
 1,000,000     DTE Electric Co   2.950   03/01/50   1,045,341 
 350,000     DTE Energy Co   2.600   06/15/22   360,925 
 200,000     DTE Energy Co   3.300   06/15/22   208,518 
 1,875,000     DTE Energy Co   3.700   08/01/23   2,014,673 
 200,000     DTE Energy Co   3.850   12/01/23   216,873 
 200,000     DTE Energy Co   3.500   06/01/24   215,647 
 350,000     DTE Energy Co   3.400   06/15/29   378,006 
 500,000     DTE Energy Co   2.950   03/01/30   520,512 
 300,000     Duke Energy Carolinas LLC   3.350   05/15/22   315,150 
 200,000     Duke Energy Carolinas LLC   2.500   03/15/23   208,406 
 2,000,000     Duke Energy Carolinas LLC   3.050   03/15/23   2,127,735 
 200,000     Duke Energy Carolinas LLC   2.950   12/01/26   222,126 
 500,000     Duke Energy Carolinas LLC   3.950   11/15/28   594,805 
 500,000     Duke Energy Carolinas LLC   2.450   08/15/29   536,860 
 500,000     Duke Energy Carolinas LLC   2.450   02/01/30   540,132 
 125,000     Duke Energy Carolinas LLC   5.300   02/15/40   173,096 
 300,000     Duke Energy Carolinas LLC   3.750   06/01/45   350,092 
 200,000     Duke Energy Carolinas LLC   3.875   03/15/46   238,692 
 1,750,000     Duke Energy Carolinas LLC   3.700   12/01/47   2,064,699 
 1,500,000     Duke Energy Carolinas LLC   3.950   03/15/48   1,855,151 
 1,000,000     Duke Energy Carolinas LLC   3.200   08/15/49   1,121,297 
 250,000     Duke Energy Corp   1.800   09/01/21   253,268 
 300,000     Duke Energy Corp   3.050   08/15/22   313,134 
 300,000     Duke Energy Corp   3.950   10/15/23   327,150 
 2,700,000     Duke Energy Corp   2.650   09/01/26   2,927,275 
 350,000     Duke Energy Corp   3.150   08/15/27   387,511 
 500,000     Duke Energy Corp   3.400   06/15/29   562,005 
 1,000,000     Duke Energy Corp   2.450   06/01/30   1,053,612 
 300,000     Duke Energy Corp   4.800   12/15/45   389,366 
 3,475,000     Duke Energy Corp   3.750   09/01/46   3,935,121 
 500,000     Duke Energy Corp   4.200   06/15/49   609,730 
 1,200,000     Duke Energy Florida LLC   3.100   08/15/21   1,222,726 
 1,200,000     Duke Energy Florida LLC   3.200   01/15/27   1,341,182 
 1,000,000     Duke Energy Florida LLC   2.500   12/01/29   1,081,373 
 1,000,000     Duke Energy Florida LLC   1.750   06/15/30   1,010,314 
 375,000     Duke Energy Florida LLC   6.400   06/15/38   571,523 
 500,000     Duke Energy Florida LLC   3.400   10/01/46   563,248 
 300,000     Duke Energy Florida LLC   4.200   07/15/48   378,746 
 300,000     Duke Energy Indiana LLC   3.750   05/15/46   348,205 
 500,000     Duke Energy Indiana LLC   3.250   10/01/49   554,025 
 275,000     Duke Energy Indiana LLC   2.750   04/01/50   276,653 
 200,000     Duke Energy Ohio, Inc   3.650   02/01/29   231,243 
94

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$375,000     Duke Energy Ohio, Inc   2.125%  06/01/30  $388,326 
 200,000     Duke Energy Ohio, Inc   3.700   06/15/46   232,510 
 200,000     Duke Energy Ohio, Inc   4.300   02/01/49   253,681 
 350,000     Duke Energy Progress LLC   3.000   09/15/21   357,595 
 150,000     Duke Energy Progress LLC   2.800   05/15/22   155,725 
 300,000     Duke Energy Progress LLC   3.375   09/01/23   322,904 
 300,000     Duke Energy Progress LLC   3.250   08/15/25   334,229 
 300,000     Duke Energy Progress LLC   3.700   09/01/28   348,638 
 5,357,000     Duke Energy Progress LLC   3.450   03/15/29   6,152,541 
 400,000     Duke Energy Progress LLC   4.375   03/30/44   502,660 
 500,000     Duke Energy Progress LLC   4.150   12/01/44   610,531 
 300,000     Duke Energy Progress LLC   4.200   08/15/45   371,090 
 500,000     Duke Energy Progress LLC   3.700   10/15/46   584,069 
 200,000     Duke Energy Progress LLC   3.600   09/15/47   230,770 
 200,000     Edison International   2.400   09/15/22   202,608 
 300,000     Edison International   3.125   11/15/22   308,970 
 800,000     Edison International   3.550   11/15/24   844,708 
 750,000     Edison International   5.750   06/15/27   861,018 
 300,000     Edison International   4.125   03/15/28   317,243 
 200,000     El Paso Electric Co   5.000   12/01/44   236,449 
 300,000     Emera US Finance LP   2.700   06/15/21   305,484 
 1,075,000     Emera US Finance LP   3.550   06/15/26   1,206,348 
 625,000     Emera US Finance LP   4.750   06/15/46   740,782 
 50,000     Empresa Nacional de Electricidad S.A.   4.250   04/15/24   53,418 
 675,000     Enel Chile S.A.   4.875   06/12/28   752,625 
 400,000     Enersis Americas S.A.   4.000   10/25/26   424,004 
 175,000     Entergy Arkansas LLC   3.700   06/01/24   192,855 
 600,000     Entergy Arkansas LLC   3.500   04/01/26   675,237 
 200,000     Entergy Arkansas LLC   4.200   04/01/49   252,643 
 200,000     Entergy Corp   4.000   07/15/22   212,283 
 1,300,000     Entergy Corp   2.950   09/01/26   1,434,527 
 175,000     Entergy Corp   2.800   06/15/30   184,301 
 500,000     Entergy Corp   3.750   06/15/50   554,632 
 200,000     Entergy Louisiana LLC   4.050   09/01/23   218,735 
 200,000     Entergy Louisiana LLC   2.400   10/01/26   214,332 
 200,000     Entergy Louisiana LLC   3.120   09/01/27   219,727 
 500,000     Entergy Louisiana LLC   4.000   03/15/33   614,010 
 300,000     Entergy Louisiana LLC   4.200   09/01/48   382,144 
 300,000     Entergy Louisiana LLC   4.200   04/01/50   380,546 
 500,000     Entergy Louisiana LLC   2.900   03/15/51   512,413 
 800,000     Entergy Mississippi LLC   3.850   06/01/49   955,186 
 1,000,000     Entergy Texas, Inc   4.000   03/30/29   1,160,956 
 200,000     Entergy Texas, Inc   4.500   03/30/39   246,952 
 700,000     Entergy Texas, Inc   3.550   09/30/49   770,578 
 225,000     Essential Utilities, Inc   2.704   04/15/30   235,191 
 300,000     Essential Utilities, Inc   3.351   04/15/50   312,600 
 425,000     Evergy Kansas Central, Inc   3.450   04/15/50   470,405 
 150,000     Evergy Metro, Inc   2.250   06/01/30   157,121 
 200,000     Evergy, Inc   4.850   06/01/21   205,497 
 1,100,000     Evergy, Inc   2.450   09/15/24   1,162,156 
 750,000     Evergy, Inc   2.900   09/15/29   803,495 
 500,000     Eversource Energy   2.500   03/15/21   506,277 
 750,000     Eversource Energy   2.750   03/15/22   777,092 
 300,000     Eversource Energy   3.800   12/01/23   328,337 
95

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$300,000     Eversource Energy   2.900%  10/01/24  $321,771 
 200,000     Eversource Energy   3.300   01/15/28   219,866 
 300,000     Eversource Energy   4.250   04/01/29   356,468 
 1,000,000     Eversource Energy   3.450   01/15/50   1,066,364 
 1,122,000     Exelon Corp   2.450   04/15/21   1,137,453 
 1,200,000     Exelon Corp   3.497   06/01/22   1,252,677 
 425,000     Exelon Corp   3.400   04/15/26   473,283 
 500,000     Exelon Corp   4.950   06/15/35   616,187 
 975,000     Exelon Corp   4.450   04/15/46   1,184,996 
 100,000     Exelon Corp   4.700   04/15/50   127,053 
 150,000     Exelon Generation Co LLC   3.400   03/15/22   155,892 
 200,000     Exelon Generation Co LLC   4.250   06/15/22   211,886 
 900,000     Exelon Generation Co LLC   6.250   10/01/39   1,068,460 
 625,000     Exelon Generation Co LLC   5.600   06/15/42   701,605 
 500,000     FirstEnergy Corp   2.850   07/15/22   518,547 
 325,000     FirstEnergy Corp   4.250   03/15/23   351,413 
 750,000     FirstEnergy Corp   2.050   03/01/25   773,707 
 175,000     FirstEnergy Corp   1.600   01/15/26   176,543 
 2,100,000     FirstEnergy Corp   3.900   07/15/27   2,375,261 
 750,000     FirstEnergy Corp   2.650   03/01/30   782,643 
 125,000     FirstEnergy Corp   2.250   09/01/30   125,251 
 325,000     FirstEnergy Corp   7.375   11/15/31   474,536 
 1,250,000     FirstEnergy Corp   4.850   07/15/47   1,583,454 
 750,000     FirstEnergy Corp   3.400   03/01/50   799,629 
 400,000     Florida Power & Light Co   2.750   06/01/23   422,474 
 500,000     Florida Power & Light Co   3.250   06/01/24   541,808 
 907,000     Florida Power & Light Co   3.125   12/01/25   1,009,328 
 100,000     Florida Power & Light Co   4.125   02/01/42   124,937 
 200,000     Florida Power & Light Co   4.050   06/01/42   246,982 
 450,000     Florida Power & Light Co   3.800   12/15/42   541,583 
 400,000     Florida Power & Light Co   4.050   10/01/44   498,733 
 500,000     Florida Power & Light Co   3.700   12/01/47   600,040 
 1,675,000     Florida Power & Light Co   3.950   03/01/48   2,105,339 
 500,000     Florida Power & Light Co   4.125   06/01/48   649,541 
 1,100,000     Florida Power & Light Co   3.990   03/01/49   1,413,087 
 400,000     Florida Power & Light Co   3.150   10/01/49   454,633 
 768,000     Fortis, Inc   3.055   10/04/26   828,661 
 225,000     Georgia Power Co   2.100   07/30/23   234,126 
 600,000     Georgia Power Co   2.200   09/15/24   629,745 
 100,000     Georgia Power Co   3.250   04/01/26   108,659 
 700,000     Georgia Power Co   3.250   03/30/27   758,062 
 700,000     Georgia Power Co   2.650   09/15/29   732,576 
 625,000     Georgia Power Co   4.300   03/15/42   726,067 
 700,000     Georgia Power Co   4.300   03/15/43   831,683 
 325,000     Georgia Power Co   3.700   01/30/50   359,029 
 200,000     Gulf Power Co   3.300   05/30/27   221,746 
 250,000     Iberdrola International BV   5.810   03/15/25   297,438 
 400,000     Iberdrola International BV   6.750   07/15/36   557,601 
 500,000     Indiana Michigan Power Co   3.850   05/15/28   570,293 
 225,000     Indiana Michigan Power Co   4.550   03/15/46   285,036 
 100,000     Indiana Michigan Power Co   3.750   07/01/47   113,115 
 300,000     Indiana Michigan Power Co   4.250   08/15/48   370,166 
 500,000     Interstate Power & Light Co   3.250   12/01/24   542,655 
 725,000     Interstate Power & Light Co   4.100   09/26/28   839,555 
96

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$325,000     Interstate Power & Light Co   3.600%  04/01/29  $365,369 
 125,000     Interstate Power & Light Co   2.300   06/01/30   127,630 
 100,000     Interstate Power & Light Co   6.250   07/15/39   142,157 
 100,000     Interstate Power & Light Co   3.700   09/15/46   110,003 
 300,000     Interstate Power & Light Co   3.500   09/30/49   327,051 
 1,000,000     IPALCO Enterprises, Inc   3.700   09/01/24   1,069,099 
 100,000  g  IPALCO Enterprises, Inc   4.250   05/01/30   108,320 
 300,000     ITC Holdings Corp   2.700   11/15/22   312,762 
 300,000     ITC Holdings Corp   3.650   06/15/24   326,475 
 100,000     ITC Holdings Corp   3.250   06/30/26   109,533 
 900,000     ITC Holdings Corp   3.350   11/15/27   995,559 
 200,000     Kansas City Power & Light Co   3.650   08/15/25   225,383 
 100,000     Kansas City Power & Light Co   5.300   10/01/41   133,362 
 650,000     Kansas City Power & Light Co   4.200   06/15/47   788,742 
 100,000     Kansas City Power & Light Co   4.200   03/15/48   124,808 
 300,000     Kansas City Power & Light Co   4.125   04/01/49   371,733 
 300,000     Kentucky Utilities Co   4.375   10/01/45   364,468 
 400,000     Kentucky Utilities Co   3.300   06/01/50   428,201 
 250,000     KeySpan Corp   5.803   04/01/35   328,194 
 320,000     LG&E and KU Energy LLC   3.750   11/15/20   321,207 
 300,000     Louisville Gas & Electric Co   4.250   04/01/49   364,936 
 1,500,000     MidAmerican Energy Co   3.100   05/01/27   1,684,685 
 575,000     MidAmerican Energy Co   3.650   04/15/29   686,104 
 200,000     MidAmerican Energy Co   4.800   09/15/43   265,113 
 200,000     MidAmerican Energy Co   4.400   10/15/44   253,338 
 200,000     MidAmerican Energy Co   4.250   05/01/46   249,403 
 500,000     MidAmerican Energy Co   3.950   08/01/47   610,585 
 1,000,000     MidAmerican Energy Co   3.650   08/01/48   1,183,954 
 300,000     MidAmerican Energy Co   4.250   07/15/49   389,322 
 300,000     MidAmerican Energy Co   3.150   04/15/50   330,609 
 500,000     Mississippi Power Co   3.950   03/30/28   567,799 
 750,000     Mississippi Power Co   4.250   03/15/42   879,626 
 100,000     National Fuel Gas Co   4.900   12/01/21   103,439 
 200,000     National Fuel Gas Co   3.750   03/01/23   203,846 
 300,000     National Fuel Gas Co   5.200   07/15/25   317,702 
 300,000     National Fuel Gas Co   5.500   01/15/26   319,116 
 200,000     National Fuel Gas Co   3.950   09/15/27   196,071 
 200,000     National Fuel Gas Co   4.750   09/01/28   202,962 
 1,000,000     Nevada Power Co   3.700   05/01/29   1,158,525 
 500,000     Nevada Power Co   2.400   05/01/30   531,420 
 500,000     Nevada Power Co   3.125   08/01/50   541,837 
 500,000     NextEra Energy Capital Holdings, Inc   4.500   06/01/21   513,317 
 1,500,000     NextEra Energy Capital Holdings, Inc   2.403   09/01/21   1,533,918 
 500,000     NextEra Energy Capital Holdings, Inc   2.900   04/01/22   520,462 
 300,000     NextEra Energy Capital Holdings, Inc   2.800   01/15/23   315,351 
 850,000     NextEra Energy Capital Holdings, Inc   3.150   04/01/24   922,586 
 500,000     NextEra Energy Capital Holdings, Inc   2.750   05/01/25   539,891 
 750,000     NextEra Energy Capital Holdings, Inc   3.250   04/01/26   839,329 
 1,125,000     NextEra Energy Capital Holdings, Inc   3.550   05/01/27   1,275,350 
 300,000     NextEra Energy Capital Holdings, Inc   3.500   04/01/29   339,834 
 450,000     NextEra Energy Capital Holdings, Inc   2.750   11/01/29   485,082 
 1,525,000     NextEra Energy Capital Holdings, Inc   2.250   06/01/30   1,566,590 
 1,700,000     NextEra Energy Capital Holdings, Inc   5.650   05/01/79   1,851,725 
 150,000     NiSource, Inc   2.650   11/17/22   156,642 
97

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$500,000     NiSource, Inc   3.650%  06/15/23  $540,066 
 1,000,000     NiSource, Inc   3.490   05/15/27   1,130,679 
 750,000     NiSource, Inc   2.950   09/01/29   817,090 
 200,000     NiSource, Inc   3.600   05/01/30   228,517 
 100,000     NiSource, Inc   5.950   06/15/41   137,330 
 700,000     NiSource, Inc   5.250   02/15/43   899,194 
 450,000     NiSource, Inc   4.800   02/15/44   549,775 
 815,000     NiSource, Inc   5.650   02/01/45   1,104,750 
 350,000     NiSource, Inc   4.375   05/15/47   422,036 
 500,000     NiSource, Inc   3.950   03/30/48   578,151 
 150,000     Northern States Power Co   2.150   08/15/22   154,155 
 300,000     Northern States Power Co   2.600   05/15/23   314,477 
 425,000     Northern States Power Co   5.350   11/01/39   599,530 
 175,000     Northern States Power Co   3.600   05/15/46   204,078 
 1,950,000     Northern States Power Co   3.600   09/15/47   2,282,121 
 325,000     Northern States Power Co   2.900   03/01/50   355,271 
 750,000     Northern States Power Co   2.600   06/01/51   756,070 
 1,000,000     Northwest Pipeline LLC   4.000   04/01/27   1,094,762 
 200,000     NorthWestern Corp   4.176   11/15/44   236,241 
 200,000     NSTAR Electric Co   2.375   10/15/22   206,953 
 1,300,000     NSTAR Electric Co   3.200   05/15/27   1,460,238 
 200,000     Nvent Finance Sarl   3.950   04/15/23   209,013 
 200,000     Nvent Finance Sarl   4.550   04/15/28   213,908 
 500,000     Oglethorpe Power Corp   5.050   10/01/48   565,083 
 500,000     Oglethorpe Power Corp   5.250   09/01/50   582,722 
 600,000     Ohio Power Co   5.375   10/01/21   635,559 
 500,000     Ohio Power Co   4.150   04/01/48   615,529 
 1,500,000     Ohio Power Co   4.000   06/01/49   1,817,703 
 200,000     Oklahoma Gas & Electric Co   3.800   08/15/28   225,980 
 500,000     Oklahoma Gas & Electric Co   3.300   03/15/30   549,381 
 100,000     Oklahoma Gas & Electric Co   3.250   04/01/30   110,224 
 200,000     Oklahoma Gas & Electric Co   4.150   04/01/47   231,450 
 200,000     Oklahoma Gas & Electric Co   3.850   08/15/47   233,447 
 150,000     Oncor Electric Delivery Co LLC   4.100   06/01/22   158,430 
 500,000     Oncor Electric Delivery Co LLC   2.750   06/01/24   540,772 
 400,000     Oncor Electric Delivery Co LLC   2.950   04/01/25   435,338 
 750,000     Oncor Electric Delivery Co LLC   3.700   11/15/28   880,274 
 1,500,000     Oncor Electric Delivery Co LLC   5.750   03/15/29   1,967,440 
 325,000  g  Oncor Electric Delivery Co LLC   2.750   05/15/30   356,907 
 70,000     Oncor Electric Delivery Co LLC   7.250   01/15/33   107,127 
 100,000     Oncor Electric Delivery Co LLC   5.250   09/30/40   138,142 
 550,000     Oncor Electric Delivery Co LLC   4.550   12/01/41   699,368 
 150,000     Oncor Electric Delivery Co LLC   5.300   06/01/42   208,325 
 300,000     Oncor Electric Delivery Co LLC   3.750   04/01/45   359,152 
 400,000     Oncor Electric Delivery Co LLC   3.800   09/30/47   483,783 
 200,000     Oncor Electric Delivery Co LLC   4.100   11/15/48   252,477 
 500,000     Oncor Electric Delivery Co LLC   3.800   06/01/49   605,067 
 500,000     Oncor Electric Delivery Co LLC   3.100   09/15/49   550,976 
 200,000  g  Oncor Electric Delivery Co LLC   3.700   05/15/50   242,341 
 137,000     ONE Gas, Inc   3.610   02/01/24   149,896 
 100,000     ONE Gas, Inc   4.658   02/01/44   124,567 
 500,000     ONE Gas, Inc   4.500   11/01/48   631,784 
 1,575,000     ONEOK Partners LP   3.375   10/01/22   1,630,749 
 200,000     ONEOK Partners LP   5.000   09/15/23   215,496 
98

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$700,000     ONEOK Partners LP   4.900%  03/15/25  $759,933 
 130,000     ONEOK Partners LP   6.650   10/01/36   145,455 
 250,000     ONEOK Partners LP   6.850   10/15/37   278,347 
 100,000     ONEOK Partners LP   6.125   02/01/41   107,302 
 3,000,000     Pacific Gas and Electric Co   1.750   06/16/22   3,004,680 
 3,000,000     Pacific Gas and Electric Co   2.100   08/01/27   2,962,710 
 4,000,000     Pacific Gas and Electric Co   2.500   02/01/31   3,910,400 
 1,000,000     Pacific Gas and Electric Co   3.300   08/01/40   973,050 
 3,300,000     Pacific Gas and Electric Co   3.500   08/01/50   3,185,754 
 250,000     PacifiCorp   2.950   02/01/22   258,681 
 500,000     PacifiCorp   3.500   06/15/29   576,543 
 500,000     PacifiCorp   2.700   09/15/30   544,576 
 850,000     PacifiCorp   6.000   01/15/39   1,246,775 
 300,000     PacifiCorp   4.125   01/15/49   371,193 
 1,300,000     PacifiCorp   4.150   02/15/50   1,625,692 
 250,000     PacifiCorp   3.300   03/15/51   275,316 
 200,000     PECO Energy Co   1.700   09/15/21   202,628 
 150,000     PECO Energy Co   2.375   09/15/22   155,306 
 200,000     PECO Energy Co   3.150   10/15/25   221,878 
 200,000     PECO Energy Co   4.150   10/01/44   246,892 
 200,000     PECO Energy Co   3.700   09/15/47   236,741 
 1,200,000     PECO Energy Co   3.900   03/01/48   1,470,597 
 125,000     PECO Energy Co   3.000   09/15/49   132,085 
 100,000     PECO Energy Co   2.800   06/15/50   103,184 
 200,000     Piedmont Natural Gas Co, Inc   4.650   08/01/43   247,081 
 100,000     Piedmont Natural Gas Co, Inc   3.350   06/01/50   109,280 
 1,000,000     Pinnacle West Capital Corp   1.300   06/15/25   1,014,502 
 200,000     Potomac Electric Power Co   3.600   03/15/24   218,037 
 900,000     Potomac Electric Power Co   4.150   03/15/43   1,084,694 
 300,000     PPL Capital Funding, Inc   4.200   06/15/22   317,624 
 200,000     PPL Capital Funding, Inc   3.500   12/01/22   211,646 
 400,000     PPL Capital Funding, Inc   3.400   06/01/23   423,523 
 1,100,000     PPL Capital Funding, Inc   3.950   03/15/24   1,191,862 
 950,000     PPL Capital Funding, Inc   3.100   05/15/26   1,028,454 
 500,000     PPL Capital Funding, Inc   4.125   04/15/30   568,854 
 1,300,000     PPL Capital Funding, Inc   4.000   09/15/47   1,402,268 
 200,000     PPL Electric Utilities Corp   4.125   06/15/44   242,807 
 275,000     PPL Electric Utilities Corp   4.150   10/01/45   339,411 
 500,000     PPL Electric Utilities Corp   3.950   06/01/47   606,156 
 200,000     PPL Electric Utilities Corp   4.150   06/15/48   247,377 
 525,000     PPL Electric Utilities Corp   3.000   10/01/49   556,133 
 300,000     Progress Energy, Inc   3.150   04/01/22   311,421 
 500,000     PSEG Power LLC   3.000   06/15/21   510,163 
 1,342,000     PSEG Power LLC   3.850   06/01/23   1,449,054 
 150,000     Public Service Co of Colorado   2.250   09/15/22   154,053 
 250,000     Public Service Co of Colorado   3.700   06/15/28   290,278 
 1,000,000     Public Service Co of Colorado   1.900   01/15/31   1,019,927 
 200,000     Public Service Co of Colorado   3.800   06/15/47   241,349 
 100,000     Public Service Co of Colorado   4.100   06/15/48   125,604 
 300,000     Public Service Co of Colorado   4.050   09/15/49   372,720 
 400,000     Public Service Co of Colorado   3.200   03/01/50   446,951 
 350,000     Public Service Co of Colorado   2.700   01/15/51   358,149 
 100,000     Public Service Co of New Hampshire   3.600   07/01/49   116,968 
 300,000     Public Service Electric & Gas Co   3.250   09/01/23   323,347 
99

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE  
$300,000     Public Service Electric & Gas Co   2.250%  09/15/26  $320,374 
 450,000     Public Service Electric & Gas Co   3.000   05/15/27   497,896 
 250,000     Public Service Electric & Gas Co   3.700   05/01/28   290,254 
 500,000     Public Service Electric & Gas Co   3.200   05/15/29   567,413 
 500,000     Public Service Electric & Gas Co   2.450   01/15/30   537,848 
 200,000     Public Service Electric & Gas Co   3.800   01/01/43   234,881 
 600,000     Public Service Electric & Gas Co   3.800   03/01/46   719,432 
 200,000     Public Service Electric & Gas Co   3.600   12/01/47   231,503 
 250,000     Public Service Electric & Gas Co   4.050   05/01/48   314,280 
 500,000     Public Service Electric & Gas Co   3.850   05/01/49   613,906 
 575,000     Public Service Electric & Gas Co   3.200   08/01/49   640,335 
 500,000     Public Service Electric & Gas Co   3.150   01/01/50   549,108 
 175,000     Public Service Electric and Gas Co   2.700   05/01/50   181,147 
 500,000     Public Service Enterprise Group, Inc   2.000   11/15/21   508,100 
 1,585,000     Puget Energy, Inc   3.650   05/15/25   1,693,423 
 1,000,000  g  Puget Energy, Inc   4.100   06/15/30   1,103,772 
 250,000     Puget Sound Energy, Inc   5.757   10/01/39   348,902 
 200,000     Puget Sound Energy, Inc   4.300   05/20/45   245,042 
 725,000     Puget Sound Energy, Inc   4.223   06/15/48   911,093 
 275,000     Puget Sound Energy, Inc   3.250   09/15/49   294,637 
 150,000     San Diego Gas & Electric Co   3.000   08/15/21   153,279 
 400,000     San Diego Gas & Electric Co   3.600   09/01/23   431,406 
 800,000     San Diego Gas & Electric Co   2.500   05/15/26   861,797 
 300,000     San Diego Gas & Electric Co   3.750   06/01/47   345,988 
 300,000     San Diego Gas & Electric Co   4.150   05/15/48   361,979 
 750,000     San Diego Gas & Electric Co   4.100   06/15/49   918,282 
 200,000     Sempra Energy   2.850   11/15/20   201,231 
 150,000     Sempra Energy   2.875   10/01/22   155,383 
 500,000     Sempra Energy   2.900   02/01/23   522,381 
 500,000     Sempra Energy   4.050   12/01/23   544,867 
 200,000     Sempra Energy   3.750   11/15/25   219,212 
 1,525,000     Sempra Energy   3.250   06/15/27   1,677,743 
 675,000     Sempra Energy   3.400   02/01/28   741,614 
 825,000     Sempra Energy   3.800   02/01/38   890,659 
 125,000     Sempra Energy   6.000   10/15/39   173,023 
 850,000     Sempra Energy   4.000   02/01/48   937,867 
 869,000     Sierra Pacific Power Co   2.600   05/01/26   943,865 
 50,000     South Carolina Electric & Gas Co   5.300   05/15/33   65,601 
 125,000     South Carolina Electric & Gas Co   5.450   02/01/41   172,981 
 800,000     South Carolina Electric & Gas Co   4.600   06/15/43   1,005,245 
 1,475,000     Southern California Edison Co   2.900   03/01/21   1,498,792 
 500,000     Southern California Edison Co   2.400   02/01/22   507,750 
 100,000     Southern California Edison Co   3.400   06/01/23   107,011 
 500,000     Southern California Edison Co   3.700   08/01/25   553,112 
 750,000     Southern California Edison Co   3.650   03/01/28   841,673 
 500,000     Southern California Edison Co   4.200   03/01/29   583,002 
 600,000     Southern California Edison Co   2.850   08/01/29   633,912 
 750,000     Southern California Edison Co   2.250   06/01/30   761,589 
 185,000     Southern California Edison Co   6.050   03/15/39   249,374 
 300,000     Southern California Edison Co   4.500   09/01/40   352,718 
 825,000     Southern California Edison Co   4.650   10/01/43   1,009,764 
 450,000     Southern California Edison Co   3.600   02/01/45   487,516 
 1,937,000     Southern California Edison Co   4.000   04/01/47   2,211,877 
 1,675,000     Southern California Edison Co   4.125   03/01/48   1,955,615 
100

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$500,000     Southern California Edison Co      4.875%  03/01/49  $645,970 
 925,000     Southern California Edison Co      3.650   02/01/50   1,016,059 
 200,000     Southern California Gas Co      3.200   06/15/25   219,588 
 200,000     Southern California Gas Co      2.600   06/15/26   216,712 
 500,000     Southern California Gas Co      2.550   02/01/30   538,009 
 150,000     Southern California Gas Co      3.750   09/15/42   168,722 
 500,000     Southern California Gas Co      4.125   06/01/48   622,805 
 300,000     Southern California Gas Co      4.300   01/15/49   381,442 
 500,000     Southern California Gas Co      3.950   02/15/50   606,997 
 400,000     Southern Co      2.350   07/01/21   406,799 
 425,000     Southern Co      2.950   07/01/23   449,111 
 2,325,000     Southern Co      3.250   07/01/26   2,576,535 
 500,000     Southern Co      3.700   04/30/30   570,661 
 400,000     Southern Co      4.250   07/01/36   455,476 
 2,300,000     Southern Co      4.400   07/01/46   2,723,639 
 200,000     Southern Co Gas Capital Corp      2.450   10/01/23   209,788 
 400,000     Southern Co Gas Capital Corp      3.250   06/15/26   427,852 
 275,000     Southern Co Gas Capital Corp      4.400   06/01/43   310,411 
 100,000     Southern Co Gas Capital Corp      3.950   10/01/46   110,330 
 900,000     Southern Co Gas Capital Corp      4.400   05/30/47   1,068,396 
 550,000     Southern Natural Gas Co      4.400   06/15/21   562,883 
 200,000     Southern Power Co      4.150   12/01/25   228,494 
 300,000     Southern Power Co      4.950   12/15/46   332,240 
 150,000     Southwest Gas Corp      3.700   04/01/28   167,042 
 100,000     Southwest Gas Corp      2.200   06/15/30   102,621 
 100,000     Southwest Gas Corp      3.800   09/29/46   108,726 
 500,000     Southwest Gas Corp      4.150   06/01/49   572,756 
 500,000     Southwestern Electric Power Co      2.750   10/01/26   532,266 
 675,000     Southwestern Electric Power Co      4.100   09/15/28   766,915 
 750,000     Southwestern Electric Power Co      3.850   02/01/48   803,136 
 600,000     Southwestern Public Service Co      4.500   08/15/41   740,281 
 300,000     Southwestern Public Service Co      3.400   08/15/46   328,213 
 225,000     Southwestern Public Service Co      3.700   08/15/47   255,090 
 200,000     Southwestern Public Service Co      4.400   11/15/48   253,473 
 750,000     Southwestern Public Service Co      3.750   06/15/49   857,179 
 300,000     Southwestern Public Service Co      3.150   05/01/50   324,515 
 100,000     Tampa Electric Co      4.100   06/15/42   120,312 
 175,000     Tampa Electric Co      4.350   05/15/44   214,104 
 200,000     Tampa Electric Co      4.300   06/15/48   252,488 
 200,000     Tampa Electric Co      4.450   06/15/49   254,035 
 575,000     Tampa Electric Co      3.625   06/15/50   664,567 
 300,000     TC PipeLines LP      4.375   03/13/25   321,449 
 350,000     TC PipeLines LP      3.900   05/25/27   368,062 
 200,000     Tucson Electric Power Co      3.050   03/15/25   215,118 
 200,000     Tucson Electric Power Co      4.850   12/01/48   260,193 
 500,000     Tucson Electric Power Co      4.000   06/15/50   585,126 
 200,000     Union Electric Co      2.950   06/15/27   219,751 
 300,000     Union Electric Co      3.500   03/15/29   346,951 
 500,000     Union Electric Co      2.950   03/15/30   557,775 
 100,000     Union Electric Co      8.450   03/15/39   171,840 
 100,000     Union Electric Co      3.900   09/15/42   115,994 
 100,000     Union Electric Co      3.650   04/15/45   113,825 
 200,000     Union Electric Co      4.000   04/01/48   244,682 
 1,000,000     Union Electric Co      3.250   10/01/49   1,088,055 
101

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE  
$100,000     United Utilities plc      6.875%  08/15/28  $126,034 
 409,000     Virginia Electric & Power Co      2.750   03/15/23   430,165 
 500,000     Virginia Electric & Power Co      3.450   02/15/24   542,275 
 1,850,000     Virginia Electric & Power Co      3.150   01/15/26   2,061,519 
 900,000     Virginia Electric & Power Co      2.950   11/15/26   997,900 
 1,750,000     Virginia Electric & Power Co      3.500   03/15/27   1,984,255 
 3,000,000     Virginia Electric & Power Co      3.800   04/01/28   3,479,102 
 1,000,000     Virginia Electric & Power Co      2.875   07/15/29   1,096,824 
 250,000     Virginia Electric & Power Co      4.650   08/15/43   318,191 
 400,000     Virginia Electric & Power Co      4.450   02/15/44   498,295 
 200,000     Virginia Electric & Power Co      4.200   05/15/45   243,329 
 1,100,000     Virginia Electric & Power Co      4.000   11/15/46   1,322,283 
 700,000     Virginia Electric & Power Co      3.800   09/15/47   818,120 
 400,000     Virginia Electric & Power Co      4.600   12/01/48   526,589 
 500,000     Virginia Electric & Power Co      3.300   12/01/49   554,638 
 200,000     Washington Gas Light Co      3.796   09/15/46   223,490 
 500,000     Washington Gas Light Co      3.650   09/15/49   553,562 
 875,000     WEC Energy Group, Inc      3.375   06/15/21   899,535 
 500,000     WEC Energy Group, Inc      3.100   03/08/22   520,603 
 1,520,000     WEC Energy Group, Inc      3.550   06/15/25   1,692,962 
 100,000     Westar Energy, Inc      2.550   07/01/26   106,691 
 500,000     Westar Energy, Inc      4.125   03/01/42   587,069 
 175,000     Westar Energy, Inc      4.100   04/01/43   207,773 
 375,000     Westar Energy, Inc      3.250   09/01/49   403,456 
 175,000     Wisconsin Electric Power Co      2.050   12/15/24   184,246 
 200,000     Wisconsin Electric Power Co      5.625   05/15/33   291,635 
 200,000     Wisconsin Electric Power Co      4.300   10/15/48   246,066 
 325,000     Wisconsin Power & Light Co      3.050   10/15/27   357,578 
 500,000     Wisconsin Power & Light Co      3.000   07/01/29   554,733 
 225,000     Wisconsin Power & Light Co      3.650   04/01/50   262,624 
 200,000     Wisconsin Public Service Corp      3.350   11/21/21   208,211 
 200,000     Wisconsin Public Service Corp      4.752   11/01/44   253,791 
 300,000     Wisconsin Public Service Corp      3.300   09/01/49   324,908 
 300,000     Xcel Energy, Inc      2.400   03/15/21   303,255 
 300,000     Xcel Energy, Inc      2.600   03/15/22   308,850 
 750,000     Xcel Energy, Inc      3.350   12/01/26   840,584 
 900,000     Xcel Energy, Inc      4.000   06/15/28   1,058,958 
 200,000     Xcel Energy, Inc      4.800   09/15/41   243,023 
 500,000     Xcel Energy, Inc      3.500   12/01/49   557,462 
       TOTAL UTILITIES              381,883,378 
                        
       TOTAL CORPORATE BONDS              4,596,288,528 
       (Cost $4,164,593,141)                
                        
GOVERNMENT BONDS -  69.3%                
                        
AGENCY SECURITIES - 1.2%                
 3,000,000     Federal Farm Credit Bank (FFCB)      2.875   07/17/23   3,232,513 
 1,145,000     FFCB      3.500   12/20/23   1,269,806 
 20,000,000     Federal Home Loan Bank (FHLB)      1.125   07/14/21   20,197,179 
 10,000,000     FHLB      0.500   04/14/25   10,016,432 
 13,875,000     FHLB      3.250   11/16/28   16,530,710 
 29,500,000     Federal Home Loan Mortgage Corp (FHLMC)      2.375   01/13/22   30,480,210 
 3,000,000     FHLMC      0.375   05/05/23   3,007,793 
102

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE  
$12,625,000     FHLMC      2.750%  06/19/23  $13,557,147 
 10,000,000     FHLMC      1.500   02/12/25   10,471,716 
 1,000,000     Federal National Mortgage Association (FNMA)      2.625   01/11/22   1,037,066 
 7,400,000     FNMA      2.250   04/12/22   7,670,859 
 1,434,124  i  FNMA      2.301   09/25/22   1,470,595 
 1,000,000     FNMA      2.000   10/05/22   1,038,350 
 10,000,000     FNMA      2.375   01/19/23   10,563,004 
 1,000,000     FNMA      2.875   09/12/23   1,083,711 
 2,500,000     FNMA      2.500   02/05/24   2,696,370 
 5,000,000     FNMA      1.750   07/02/24   5,278,686 
 13,700,000     FNMA      2.625   09/06/24   14,999,566 
 3,000,000     FNMA      1.625   01/07/25   3,160,600 
 4,000,000     FNMA      0.625   04/22/25   4,032,737 
 4,000,000     FNMA      1.875   09/24/26   4,307,214 
 5,000,000     FNMA      6.625   11/15/30   7,733,050 
 1,000,000     FNMA      5.625   07/15/37   1,607,636 
 500,000     Hashemite Kingdom of Jordan Government AID International Bond      2.503   10/30/20   503,731 
 1,300,000     Hashemite Kingdom of Jordan Government AID International Bond      3.000   06/30/25   1,441,696 
 1,000,000     Iraq Government AID International Bond      2.149   01/18/22   1,030,565 
 800,000     Israel Government AID International Bond      5.500   09/18/23   928,278 
 300,000     Israel Government AID International Bond      5.500   04/26/24   356,176 
 250,000     NCUA Guaranteed Notes      3.450   06/12/21   257,674 
 200,000     Private Export Funding Corp (PEFCO)      2.300   09/15/20   200,897 
 400,000     PEFCO      2.050   11/15/22   411,702 
 250,000     PEFCO      1.750   11/15/24   263,396 
 200,000     PEFCO      3.250   06/15/25   224,411 
 2,000,000     Tennessee Valley Authority (TVA)      3.875   02/15/21   2,045,428 
 750,000     TVA      2.875   09/15/24   827,579 
 2,000,000     TVA      0.750   05/15/25   2,026,186 
 1,425,000     TVA      2.875   02/01/27   1,614,820 
 500,000     TVA      5.880   04/01/36   779,776 
 500,000     TVA      5.500   06/15/38   763,638 
 4,300,000     TVA      3.500   12/15/42   5,417,753 
 1,750,000     TVA      4.625   09/15/60   2,732,735 
 300,000     TVA      4.250   09/15/65   451,276 
 175,000     Tunisia Government AID International Bonds      1.416   08/05/21   173,737 
       TOTAL AGENCY SECURITIES              197,894,404 
                        
FOREIGN GOVERNMENT BONDS - 3.4%                
 500,000     African Development Bank      1.250   07/26/21   505,081 
 450,000     African Development Bank      2.375   09/23/21   461,288 
 2,000,000     African Development Bank      1.625   09/16/22   2,057,704 
 500,000     African Development Bank      2.125   11/16/22   521,440 
 2,000,000     African Development Bank      3.000   09/20/23   2,168,705 
 4,000,000     Asian Development Bank      1.750   06/08/21   4,054,801 
 1,000,000     Asian Development Bank      2.125   11/24/21   1,025,698 
 600,000     Asian Development Bank      1.875   02/18/22   615,866 
 4,000,000     Asian Development Bank      1.875   07/19/22   4,129,318 
 500,000     Asian Development Bank      1.875   08/10/22   516,475 
 750,000     Asian Development Bank      1.750   09/13/22   774,060 
 2,250,000     Asian Development Bank      1.625   01/24/23   2,326,313 
 3,000,000     Asian Development Bank      2.750   03/17/23   3,196,668 
103

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE  
$2,200,000     Asian Development Bank      2.625%  01/30/24  $2,376,358 
 2,000,000     Asian Development Bank      1.500   10/18/24   2,090,926 
 500,000     Asian Development Bank      2.000   01/22/25   534,221 
 1,500,000     Asian Development Bank      2.000   04/24/26   1,622,787 
 1,000,000     Asian Development Bank      2.625   01/12/27   1,123,051 
 500,000     Asian Development Bank      2.375   08/10/27   557,607 
 500,000     Asian Development Bank      2.500   11/02/27   562,728 
 1,000,000     Asian Development Bank      2.750   01/19/28   1,147,638 
 75,000     Asian Development Bank      5.820   06/16/28   102,211 
 2,575,000     Asian Development Bank      3.125   09/26/28   3,036,829 
 2,000,000     Asian Development Bank      1.750   09/19/29   2,153,000 
 3,500,000     Asian Development Bank      1.875   01/24/30   3,814,457 
 3,000,000     Asian Infrastructure Investment Bank      0.500   05/28/25   2,994,504 
 1,925,000     Canada Government International Bond      2.625   01/25/22   1,995,784 
 2,000,000     Canada Government International Bond      2.000   11/15/22   2,082,711 
 3,000,000     Canada Government International Bond      1.625   01/22/25   3,165,920 
 1,715,000     Chile Government International Bond      3.240   02/06/28   1,881,355 
 1,000,000     Chile Government International Bond      2.450   01/31/31   1,035,000 
 2,000,000     Chile Government International Bond      2.550   01/27/32   2,080,000 
 2,613,000     Chile Government International Bond      3.500   01/25/50   2,937,038 
 600,000     Colombia Government International Bond      2.625   03/15/23   606,000 
 2,250,000     Colombia Government International Bond      4.000   02/26/24   2,359,687 
 2,500,000     Colombia Government International Bond      3.875   04/25/27   2,637,525 
 3,587,000     Colombia Government International Bond      4.500   03/15/29   3,933,361 
 1,225,000     Colombia Government International Bond      3.125   04/15/31   1,214,600 
 1,250,000     Colombia Government International Bond      6.125   01/18/41   1,546,875 
 1,150,000     Colombia Government International Bond      5.625   02/26/44   1,371,375 
 3,100,000     Colombia Government International Bond      5.000   06/15/45   3,479,750 
 3,425,000     Colombia Government International Bond      5.200   05/15/49   4,013,860 
 1,400,000     Colombia Government International Bond      4.125   05/15/51   1,407,000 
 500,000     Corp Andina de Fomento      2.200   07/18/20   500,005 
 500,000     Corp Andina de Fomento      2.125   09/27/21   503,130 
 950,000     Corp Andina de Fomento      3.250   02/11/22   974,700 
 527,000     Corp Andina de Fomento      4.375   06/15/22   557,561 
 750,000     Corp Andina de Fomento      2.750   01/06/23   776,272 
 1,000,000     Corp Andina de Fomento      2.375   05/12/23   1,025,620 
 750,000     Corp Andina de Fomento      3.750   11/23/23   807,285 
 1,000,000     Council of Europe Development Bank      2.625   02/13/23   1,060,253 
 1,000,000     Council of Europe Development Bank      2.500   02/27/24   1,076,511 
 1,480,000     Council Of Europe Development Bank      1.375   02/27/25   1,539,941 
 400,000     Development Bank of Japan, Inc      2.000   10/19/21   407,373 
 750,000     European Bank for Reconstruction & Development      1.500   11/02/21   761,883 
 500,000     European Bank for Reconstruction & Development      1.875   02/23/22   513,096 
 1,500,000     European Bank for Reconstruction & Development      2.750   03/07/23   1,596,090 
 5,000,000  h  European Bank for Reconstruction & Development      0.250   07/10/23   4,996,035 
 2,000,000     European Bank for Reconstruction & Development      1.625   09/27/24   2,099,635 
 1,000,000     European Investment Bank      1.625   06/15/21   1,013,080 
 14,250,000     European Investment Bank      2.625   05/20/22   14,882,484 
 1,000,000     European Investment Bank      2.375   06/15/22   1,041,285 
 500,000     European Investment Bank      2.250   08/15/22   521,182 
 3,000,000     European Investment Bank      2.500   03/15/23   3,180,417 
 3,537,000     European Investment Bank      1.375   05/15/23   3,646,817 
 2,440,000     European Investment Bank      0.250   09/15/23   2,437,793 
 1,500,000     European Investment Bank      3.125   12/14/23   1,644,527 
104

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$5,000,000     European Investment Bank      3.250%  01/29/24  $5,520,301 
 1,500,000     European Investment Bank      2.625   03/15/24   1,624,899 
 4,000,000     European Investment Bank      2.250   06/24/24   4,297,942 
 1,500,000     European Investment Bank      2.500   10/15/24   1,633,868 
 3,250,000     European Investment Bank      1.625   03/14/25   3,429,638 
 1,000,000     European Investment Bank      0.625   07/25/25   1,008,740 
 400,000     European Investment Bank      2.375   05/24/27   446,210 
 550,000     European Investment Bank      1.625   10/09/29   588,091 
 1,000,000     European Investment Bank      0.875   05/17/30   1,000,842 
 1,705,000     European Investment Bank      4.875   02/15/36   2,593,404 
 500,000     Export Development Canada      1.750   07/21/20   500,350 
 500,000     Export Development Canada      1.375   10/21/21   506,889 
 500,000     Export Development Canada      2.000   05/17/22   515,745 
 1,000,000     Export Development Canada      2.500   01/24/23   1,054,777 
 4,500,000     Export Development Canada      1.375   02/24/23   4,625,096 
 1,000,000     Export Development Canada      2.750   03/15/23   1,064,050 
 1,300,000     Export Development Canada      2.625   02/21/24   1,405,280 
 300,000     Export-Import Bank of Korea      1.875   10/21/21   304,153 
 300,000     Export-Import Bank of Korea      3.500   11/27/21   311,041 
 300,000     Export-Import Bank of Korea      5.000   04/11/22   321,752 
 3,250,000     Export-Import Bank of Korea      3.000   11/01/22   3,401,251 
 1,375,000     Export-Import Bank of Korea      3.625   11/27/23   1,500,006 
 500,000     Export-Import Bank of Korea      4.000   01/14/24   551,488 
 750,000     Export-Import Bank of Korea      2.875   01/21/25   811,474 
 750,000     Export-Import Bank of Korea      1.875   02/12/25   780,517 
 250,000     Export-Import Bank of Korea      3.250   11/10/25   278,616 
 500,000     Export-Import Bank of Korea      2.625   05/26/26   541,914 
 500,000     Export-Import Bank of Korea      3.250   08/12/26   561,548 
 500,000     Export-Import Bank of Korea      2.375   04/21/27   526,946 
 100,000     Finland Government International Bond      6.950   02/15/26   132,497 
 500,000     FMS Wertmanagement AoeR      1.375   06/08/21   505,264 
 1,000,000     FMS Wertmanagement AoeR      2.000   08/01/22   1,035,268 
 2,175,000     FMS Wertmanagement AoeR      2.750   01/30/24   2,358,653 
 4,500,000     Hungary Government International Bond      5.750   11/22/23   5,111,273 
 1,250,000     Hungary Government International Bond      7.625   03/29/41   2,090,355 
 1,270,000     Hydro Quebec      9.400   02/01/21   1,336,019 
 200,000     Hydro Quebec      8.500   12/01/29   322,496 
 750,000     Indonesia Government International Bond      2.950   01/11/23   770,958 
 700,000     Indonesia Government International Bond      4.450   02/11/24   758,775 
 750,000     Indonesia Government International Bond      3.500   01/11/28   796,532 
 900,000     Indonesia Government International Bond      4.750   02/11/29   1,040,897 
 1,250,000     Indonesia Government International Bond      3.400   09/18/29   1,326,559 
 1,000,000     Indonesia Government International Bond      2.850   02/14/30   1,020,392 
 675,000     Indonesia Government International Bond      3.850   10/15/30   749,899 
 875,000     Indonesia Government International Bond      4.350   01/11/48   985,705 
 1,125,000     Indonesia Government International Bond      5.350   02/11/49   1,456,199 
 1,000,000     Indonesia Government International Bond      3.700   10/30/49   1,036,159 
 1,000,000     Indonesia Government International Bond      3.500   02/14/50   1,025,370 
 500,000     Indonesia Government International Bond      4.200   10/15/50   556,897 
 500,000     Indonesia Government International Bond      4.450   04/15/70   573,633 
 1,000,000     Inter-American Development Bank      1.875   07/23/21   1,016,446 
 500,000     Inter-American Development Bank      2.125   01/18/22   513,932 
 3,775,000     Inter-American Development Bank      3.000   09/26/22   3,998,607 
 3,000,000     Inter-American Development Bank      2.500   01/18/23   3,166,622 
105

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$1,500,000     Inter-American Development Bank      2.625%  01/16/24  $1,618,671 
 500,000     Inter-American Development Bank      2.125   01/15/25   537,132 
 5,000,000     Inter-American Development Bank      1.750   03/14/25   5,294,689 
 1,500,000     Inter-American Development Bank      2.000   06/02/26   1,621,811 
 1,500,000     Inter-American Development Bank      2.000   07/23/26   1,618,840 
 1,000,000     Inter-American Development Bank      2.375   07/07/27   1,112,330 
 2,000,000     Inter-American Development Bank      3.125   09/18/28   2,362,100 
 3,000,000     Inter-American Development Bank      2.250   06/18/29   3,354,951 
 1,450,000     Inter-American Development Bank      3.200   08/07/42   1,877,281 
 300,000     Inter-American Development Bank      4.375   01/24/44   461,627 
 1,500,000     International Bank for Reconstruction & Development      2.000   01/26/22   1,540,588 
 5,000,000     International Bank for Reconstruction & Development      2.125   07/01/22   5,184,400 
 5,000,000     International Bank for Reconstruction & Development      1.875   10/07/22   5,181,200 
 5,400,000     International Bank for Reconstruction & Development      7.625   01/19/23   6,398,774 
 500,000     International Bank for Reconstruction & Development      2.125   02/13/23   523,780 
 3,000,000     International Bank for Reconstruction & Development      1.875   06/19/23   3,135,690 
 5,575,000     International Bank for Reconstruction & Development      2.500   03/19/24   6,012,700 
 2,000,000     International Bank for Reconstruction & Development      1.500   08/28/24   2,084,859 
 1,600,000     International Bank for Reconstruction & Development      2.500   11/25/24   1,744,090 
 5,000,000     International Bank for Reconstruction & Development      1.625   01/15/25   5,264,782 
 4,500,000     International Bank for Reconstruction & Development      2.500   07/29/25   4,950,396 
 500,000     International Bank for Reconstruction & Development      3.125   11/20/25   568,739 
 2,000,000     International Bank for Reconstruction & Development      1.750   10/23/29   2,156,300 
 4,000,000     International Bank for Reconstruction & Development      0.875   05/14/30   3,991,171 
 834,000     International Bank for Reconstruction & Development      4.750   02/15/35   1,253,511 
 2,750,000     International Finance Corp      1.625   07/16/20   2,751,237 
 500,000     International Finance Corp      2.000   10/24/22   519,880 
 1,300,000     International Finance Corp      2.875   07/31/23   1,402,594 
 1,500,000     International Finance Corp      1.375   10/16/24   1,559,965 
 705,000     Israel Government International Bond      4.000   06/30/22   750,334 
 300,000     Israel Government International Bond      3.150   06/30/23   320,070 
 1,000,000     Israel Government International Bond      2.875   03/16/26   1,091,398 
 975,000     Israel Government International Bond      3.250   01/17/28   1,101,082 
 600,000     Israel Government International Bond      2.750   07/03/30   657,966 
 1,500,000     Israel Government International Bond      4.500   01/30/43   1,932,375 
 200,000     Israel Government International Bond      4.125   01/17/48   247,909 
 300,000     Israel Government International Bond      3.875   07/03/50   353,626 
 300,000     Israel Government International Bond      4.500   04/03/20   382,938 
 1,350,000     Japan Bank for International Cooperation      2.125   07/21/20   1,351,066 
 750,000     Japan Bank for International Cooperation      1.500   07/21/21   758,646 
 500,000     Japan Bank for International Cooperation      2.500   06/01/22   519,443 
 1,250,000     Japan Bank for International Cooperation      2.375   07/21/22   1,298,124 
 480,000     Japan Bank for International Cooperation      1.625   10/17/22   492,273 
 300,000     Japan Bank for International Cooperation      2.375   11/16/22   313,193 
 900,000     Japan Bank for International Cooperation      0.625   05/22/23   903,002 
 1,050,000     Japan Bank for International Cooperation      3.375   07/31/23   1,140,687 
 4,250,000     Japan Bank for International Cooperation      3.375   10/31/23   4,641,697 
 2,300,000     Japan Bank for International Cooperation      2.500   05/23/24   2,464,344 
 720,000     Japan Bank for International Cooperation      1.750   10/17/24   752,779 
 500,000     Japan Bank for International Cooperation      2.125   02/10/25   532,705 
 5,750,000     Japan Bank for International Cooperation      2.750   01/21/26   6,366,336 
 400,000     Japan Bank for International Cooperation      2.375   04/20/26   435,650 
106

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$1,500,000     Japan Bank for International Cooperation      1.875%  07/21/26  $1,590,628 
 1,000,000     Japan Bank for International Cooperation      2.875   06/01/27   1,129,512 
 750,000     Japan Bank for International Cooperation      2.875   07/21/27   848,823 
 300,000     Japan Bank for International Cooperation      2.750   11/16/27   338,935 
 750,000     Japan Bank for International Cooperation      3.500   10/31/28   898,586 
 1,000,000     Japan Bank for International Cooperation      2.000   10/17/29   1,083,201 
 350,000     Japan International Cooperation Agency      2.125   10/20/26   370,107 
 700,000     Japan International Cooperation Agency      3.375   06/12/28   818,874 
 500,000     Korea Development Bank      2.625   02/27/22   515,169 
 500,000     Korea Development Bank      3.000   03/19/22   516,829 
 200,000     Korea Development Bank      3.000   09/14/22   209,691 
 1,000,000     Korea Development Bank      3.375   03/12/23   1,068,320 
 500,000     Korea Development Bank      2.750   03/19/23   525,620 
 500,000     Korea Development Bank      3.750   01/22/24   548,326 
 700,000     Korea Development Bank      3.250   02/19/24   756,623 
 1,000,000     Korea Development Bank      2.125   10/01/24   1,043,354 
 750,000     Korea Development Bank      1.750   02/18/25   774,433 
 200,000     Korea Development Bank      3.375   09/16/25   223,787 
 400,000     Korea Development Bank      3.000   01/13/26   441,801 
 250,000     Korea Development Bank      2.000   09/12/26   264,205 
 500,000     Korea Government International Bond      3.875   09/11/23   548,579 
 1,500,000     Korea Government International Bond      2.750   01/19/27   1,633,565 
 1,400,000     Korea Government International Bond      4.125   06/10/44   1,913,240 
 500,000     Korea Government International Bond      3.875   09/20/48   681,355 
 1,500,000     Kreditanstalt fuer Wiederaufbau      1.500   06/15/21   1,518,120 
 1,500,000     Kreditanstalt fuer Wiederaufbau      2.000   11/30/21   1,536,849 
 1,600,000     Kreditanstalt fuer Wiederaufbau      2.625   01/25/22   1,658,773 
 1,000,000     Kreditanstalt fuer Wiederaufbau      2.125   03/07/22   1,031,336 
 1,000,000     Kreditanstalt fuer Wiederaufbau      2.125   06/15/22   1,036,696 
 2,750,000     Kreditanstalt fuer Wiederaufbau      2.000   10/04/22   2,859,392 
 2,900,000     Kreditanstalt fuer Wiederaufbau      2.375   12/29/22   3,051,080 
 4,600,000     Kreditanstalt fuer Wiederaufbau      1.625   02/15/23   4,760,698 
 8,000,000     Kreditanstalt fuer Wiederaufbau      2.625   02/28/24   8,661,281 
 2,000,000     Kreditanstalt fuer Wiederaufbau      2.500   11/20/24   2,181,362 
 7,000,000     Kreditanstalt fuer Wiederaufbau      2.000   05/02/25   7,514,676 
 7,750,000     Kreditanstalt fuer Wiederaufbau      2.875   04/03/28   9,007,970 
 1,000,000     Kreditanstalt fuer Wiederaufbau      1.750   09/14/29   1,082,262 
 4,300,000     Landwirtschaftliche Rentenbank      3.125   11/14/23   4,700,144 
 500,000     Landwirtschaftliche Rentenbank      2.000   01/13/25   534,413 
 2,000,000     Landwirtschaftliche Rentenbank      0.500   05/27/25   2,002,716 
 750,000     Landwirtschaftliche Rentenbank      2.375   06/10/25   818,239 
 1,000,000     Landwirtschaftliche Rentenbank      1.750   07/27/26   1,065,476 
 125,000     Landwirtschaftliche Rentenbank      2.500   11/15/27   140,857 
 1,000,000     Mexico Government International Bond      3.900   04/27/25   1,071,000 
 5,836,000     Mexico Government International Bond      4.500   04/22/29   6,346,650 
 15,936,000     Mexico Government International Bond      3.250   04/16/30   15,792,735 
 1,175,000     Mexico Government International Bond      4.750   04/27/32   1,295,438 
 461,000     Mexico Government International Bond      6.750   09/27/34   606,220 
 8,950,000     Mexico Government International Bond      4.600   02/10/48   9,285,625 
 3,405,000     Mexico Government International Bond      4.500   01/31/50   3,502,043 
 1,000,000     Mexico Government International Bond      5.000   04/27/51   1,077,500 
 950,000     Mexico Government International Bond      5.750   10/12/10   1,052,125 
 2,500,000     Nordic Investment Bank      2.250   09/30/21   2,559,038 
 2,000,000     Nordic Investment Bank      1.375   10/17/22   2,048,400 
107

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$750,000     Nordic Investment Bank      0.375%  05/19/23  $751,896 
 500,000     Nordic Investment Bank      2.875   07/19/23   538,406 
 606,000     North American Development Bank      2.400   10/26/22   627,085 
 2,125,000     Panama Government International Bond      4.000   09/22/24   2,310,938 
 1,000,000     Panama Government International Bond      3.750   03/16/25   1,081,500 
 300,000     Panama Government International Bond      7.125   01/29/26   379,503 
 2,000,000     Panama Government International Bond      3.875   03/17/28   2,245,000 
 1,450,000     Panama Government International Bond      3.160   01/23/30   1,560,925 
 692,000     Panama Government International Bond      6.700   01/26/36   995,622 
 750,000     Panama Government International Bond      4.500   05/15/47   918,750 
 1,750,000     Panama Government International Bond      4.500   04/16/50   2,140,250 
 1,450,000     Panama Government International Bond      4.300   04/29/53   1,727,327 
 1,000,000     Panama Government International Bond      3.870   07/23/60   1,132,500 
 400,000     Peruvian Government International Bond      2.392   01/23/26   415,400 
 5,000,000     Peruvian Government International Bond      2.844   06/20/30   5,362,500 
 1,000,000     Peruvian Government International Bond      2.783   01/23/31   1,066,500 
 1,100,000     Peruvian Government International Bond      6.550   03/14/37   1,673,386 
 1,850,000     Peruvian Government International Bond      5.625   11/18/50   2,918,375 
 225,000     Philippine Government International Bond      4.200   01/21/24   244,382 
 2,219,000     Philippine Government International Bond      3.000   02/01/28   2,390,220 
 3,375,000     Philippine Government International Bond      3.750   01/14/29   3,846,084 
 1,500,000     Philippine Government International Bond      2.457   05/05/30   1,570,038 
 4,083,000     Philippine Government International Bond      3.950   01/20/40   4,732,641 
 300,000     Philippine Government International Bond      3.700   03/01/41   340,651 
 3,793,000     Philippine Government International Bond      3.700   02/02/42   4,332,440 
 1,500,000     Philippine Government International Bond      2.950   05/05/45   1,553,337 
 1,140,000     Poland Government International Bond      5.000   03/23/22   1,222,850 
 990,000     Poland Government International Bond      3.000   03/17/23   1,048,166 
 1,000,000     Poland Government International Bond      4.000   01/22/24   1,109,475 
 2,725,000     Poland Government International Bond      3.250   04/06/26   3,050,874 
 2,500,000     Province of Alberta Canada      2.200   07/26/22   2,588,550 
 750,000     Province of Alberta Canada      3.350   11/01/23   816,619 
 775,000     Province of Alberta Canada      2.950   01/23/24   836,701 
 1,500,000     Province of Alberta Canada      1.875   11/13/24   1,573,125 
 1,000,000     Province of Alberta Canada      1.000   05/20/25   1,009,106 
 925,000     Province of Alberta Canada      3.300   03/15/28   1,072,255 
 200,000     Province of British Columbia Canada      2.650   09/22/21   205,722 
 1,800,000     Province of British Columbia Canada      2.000   10/23/22   1,868,709 
 500,000     Province of British Columbia Canada      1.750   09/27/24   525,582 
 850,000     Province of British Columbia Canada      2.250   06/02/26   923,916 
 500,000     Province of Manitoba Canada      2.050   11/30/20   503,118 
 1,000,000     Province of Manitoba Canada      2.600   04/16/24   1,071,052 
 1,300,000     Province of Manitoba Canada      3.050   05/14/24   1,416,454 
 500,000     Province of Manitoba Canada      2.125   06/22/26   536,526 
 500,000     Province of New Brunswick Canada      3.625   02/24/28   587,391 
 200,000     Province of Nova Scotia Canada      8.250   07/30/22   230,842 
 500,000     Province of Ontario Canada      2.550   02/12/21   506,640 
 4,000,000     Province of Ontario Canada      2.400   02/08/22   4,126,417 
 4,000,000     Province of Ontario Canada      2.550   04/25/22   4,155,280 
 800,000     Province of Ontario Canada      2.450   06/29/22   831,994 
 1,365,000     Province of Ontario Canada      1.750   01/24/23   1,408,885 
 500,000     Province of Ontario Canada      3.400   10/17/23   546,985 
 1,000,000     Province of Ontario Canada      3.050   01/29/24   1,087,657 
 1,500,000     Province of Ontario Canada      3.200   05/16/24   1,647,325 
108

TIAA-CREF FUNDS – Bond Index Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  VALUE 
$1,000,000     Province of Ontario Canada      2.500%  04/27/26  $1,092,590 
 1,000,000     Province of Ontario Canada      2.300   06/15/26   1,082,569 
 1,000,000     Province of Ontario Canada      1.050   05/21/27   1,000,529 
 2,000,000     Province of Ontario Canada      2.000   10/02/29   2,142,654 
 1,420,000     Province of Quebec Canada      3.500   07/29/20   1,423,181 
 3,100,000     Province of Quebec Canada      2.625   02/13/23   3,273,467 
 200,000     Province of Quebec Canada      7.125   02/09/24   245,323 
 875,000     Province of Quebec Canada      2.500   04/09/24   939,958 
 500,000     Province of Quebec Canada      2.875   10/16/24   548,536 
 2,500,000     Province of Quebec Canada      1.500   02/11/25   2,596,650 
 3,500,000     Province of Quebec Canada      2.500   04/20/26   3,838,613 
 500,000     Province of Quebec Canada      2.750   04/12/27   558,244 
 201,000     Province of Quebec Canada      7.500   09/15/29   309,275 
 1,500,000     Province of Quebec Canada      1.350   05/28/30   1,525,510 
 200,000     Province of Saskatchewan Canada      8.500   07/15/22   231,665 
 1,600,000     Republic of Italy Government International Bond      6.875   09/27/23   1,850,917 
 2,000,000     Republic of Italy Government International Bond      2.375   10/17/24   2,024,152 
 1,500,000     Republic of Italy Government International Bond      2.875   10/17/29   1,490,083 
 1,599,000     Republic of Italy Government International Bond      5.375   06/15/33   1,990,214 
 2,000,000     Republic of Italy Government International Bond      4.000   10/17/49   2,024,960 
 2,000,000     State of Israel      2.500   01/15/30   2,153,247 
 2,050,000     State of Israel      3.375   01/15/50   2,245,611 
 400,000     Svensk Exportkredit AB      3.125   11/08/21   414,871 
 500,000     Svensk Exportkredit AB      2.375   03/09/22   516,933 
 2,640,000     Svensk Exportkredit AB      1.625   11/14/22   2,716,490 
 4,250,000     Svensk Exportkredit AB      2.875   03/14/23   4,528,826 
 870,000     Svensk Exportkredit AB      1.750   12/12/23   909,294 
 1,000,000     Svensk Exportkredit AB      0.625   05/14/25   1,002,804 
 5,374,716     Uruguay Government International Bond      4.375   01/23/31   6,281,753 
 500,000  h  Uruguay Government International Bond      4.125   11/20/45   575,630 
 2,063,907     Uruguay Government International Bond      5.100   06/18/50   2,662,461 
 2,425,000     Uruguay Government International Bond      4.975   04/20/55   3,107,056 
       TOTAL FOREIGN GOVERNMENT BONDS              569,275,131 
                        
MORTGAGE BACKED - 26.7%                
 18,591  i  Federal Home Loan Mortgage Corp (FHLMC)  DGS1 + 2.250%   3.776   04/01/35   19,398 
 2,702  i  FHLMC  DGS1 + 2.125%   3.996   10/01/35   2,716 
 44,671  i  FHLMC  DGS1 + 2.255%   3.937   02/01/36   46,991 
 10,497  i  FHLMC  LIBOR 12 M + 1.795%   3.873   07/01/36   11,076 
 33,109  i  FHLMC  LIBOR 6 M + 1.595%   3.406   09/01/36   33,484 
 31,597  i  FHLMC  LIBOR 6 M + 1.767%   3.598   09/01/36   32,723 
 35,499  i  FHLMC  DGS1 + 2.249%   4.130   09/01/36   36,181 
 11,368  i  FHLMC  DGS1 + 2.250%   3.990   01/01/37   11,960 
 2,335  i  FHLMC  LIBOR 12 M + 1.765%   3.765   02/01/37   2,383 
 2,148  i  FHLMC  DGS1 + 2.250%   3.969   02/01/37   2,256 
 116,086  i  FHLMC  LIBOR 12 M + 1.796%   3.817   03/01/37   122,773 
 44,765  i  FHLMC  LIBOR 12 M + 1.701%   3.490   04/01/37   45,726 
 88,693  i  FHLMC  DGS1 + 2.250%   3.840   04/01/37   93,318 
 11,342  i  FHLMC  LIBOR 12 M + 2.124%   3.964   05/01/37   11,479 
 6,964  i  FHLMC  LIBOR 12 M + 1.750%   3.099   06/01/37   7,103 
 48,909  i  FHLMC  DGS1 + 2.249%   3.493   06/01/37   49,390 
 30,437  i  FHLMC  LIBOR 6 M + 1.270%   3.145   08/01/37   30,606 
 20,615  i  FHLMC  LIBOR 6 M + 1.416%   3.281   09/01/37   20,760 
 63,490  i  FHLMC  LIBOR 12 M + 0.905%   3.429   09/01/37   64,357 
109

TIAA-CREF FUNDS – Bond Index Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  VALUE 
$221  i  FHLMC  LIBOR 12 M + 1.795%   4.045%  09/01/37  $222 
 4,846  i  FHLMC  LIBOR 12 M + 2.058%   4.058   02/01/38   4,900 
 23,057  i  FHLMC  LIBOR 12 M + 2.055%   3.805   04/01/38   24,383 
 17,095  i  FHLMC  LIBOR 12 M + 2.004%   3.763   06/01/38   17,450 
 6,288  i  FHLMC  LIBOR 12 M + 1.625%   4.260   07/01/38   6,540 
 5,505  i  FHLMC  LIBOR 12 M + 1.861%   3.910   06/01/40   5,539 
 7,078  i  FHLMC  LIBOR 12 M + 1.880%   4.505   07/01/40   7,126 
 20,434  i  FHLMC  LIBOR 12 M + 1.893%   3.892   01/01/41   20,772 
 3,464  i  FHLMC  LIBOR 12 M + 1.880%   3.630   05/01/41   3,491 
 132,833  i  FHLMC  LIBOR 12 M + 1.856%   3.880   08/01/41   135,688 
 83,220  i  FHLMC  LIBOR 12 M + 1.750%   4.024   09/01/41   86,714 
 19,257  i  FHLMC  LIBOR 12 M + 1.860%   4.136   10/01/41   19,923 
 23,753,454     FHLMC      3.000   11/01/49   25,470,272 
 23,819,760     FHLMC      3.000   11/01/49   25,361,676 
 46,926,103  h  FHLMC      3.000   02/01/50   49,944,543 
 45,496,311     FHLMC      3.500   04/01/50   48,822,169 
 35     Federal Home Loan Mortgage Corp Gold (FGLMC)      4.500   07/01/20   37 
 13     FGLMC      7.000   10/01/20   13 
 38     FGLMC      5.000   12/01/20   40 
 2,653     FGLMC      4.000   05/01/21   2,805 
 2,373     FGLMC      4.500   06/01/21   2,500 
 995     FGLMC      4.500   06/01/21   1,048 
 1,494     FGLMC      5.000   07/01/21   1,570 
 1,067     FGLMC      5.500   07/01/21   1,081 
 262,449     FGLMC      3.000   12/01/21   275,749 
 2,085     FGLMC      5.000   10/01/22   2,191 
 1,501     FGLMC      6.000   11/01/22   1,554 
 18,381     FGLMC      5.000   04/01/23   19,335 
 1,308     FGLMC      4.500   05/01/23   1,387 
 18,523     FGLMC      5.000   05/01/23   20,197 
 4,837     FGLMC      5.000   10/01/23   5,088 
 3,162     FGLMC      5.500   10/01/23   3,477 
 4,852     FGLMC      5.000   11/01/23   5,290 
 10,079     FGLMC      5.000   03/01/24   10,990 
 2,149     FGLMC      4.500   04/01/24   2,283 
 1,044     FGLMC      4.500   05/01/24   1,112 
 7,189     FGLMC      4.500   06/01/24   7,640 
 66,730     FGLMC      4.000   07/01/24   70,582 
 27,566     FGLMC      4.000   07/01/24   29,143 
 7,859     FGLMC      5.500   07/01/24   8,234 
 58,396     FGLMC      4.000   08/01/24   61,736 
 9,934     FGLMC      4.500   09/01/24   10,574 
 5,049     FGLMC      4.500   09/01/24   5,385 
 2,697     FGLMC      4.500   09/01/24   2,874 
 3,091     FGLMC      5.500   09/01/24   3,399 
 82,369     FGLMC      4.000   10/01/24   87,080 
 2,459     FGLMC      4.500   10/01/24   2,623 
 11,359     FGLMC      4.500   10/01/24   12,188 
 2,088     FGLMC      4.500   11/01/24   2,223 
 8,894     FGLMC      4.500   12/01/24   9,453 
 5,157     FGLMC      4.500   02/01/25   5,471 
 115,352     FGLMC      4.000   03/01/25   122,011 
 3,365     FGLMC      4.500   06/01/25   3,591 
 6,063     FGLMC      4.500   07/01/25   6,462 
110

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$150,564     FGLMC      3.500%  10/01/25  $158,211 
 73,896     FGLMC      4.000   10/01/25   78,123 
 251,875     FGLMC      3.500   11/01/25   264,678 
 159,948     FGLMC      3.500   11/01/25   168,103 
 66,799     FGLMC      3.500   12/01/25   70,192 
 38,170     FGLMC      3.000   01/01/26   40,160 
 525,056     FGLMC      3.500   01/01/26   551,817 
 44,632     FGLMC      4.000   04/01/26   47,305 
 92,866     FGLMC      4.000   05/01/26   98,521 
 22,304     FGLMC      5.500   07/01/26   24,525 
 263,114     FGLMC      4.000   08/01/26   278,712 
 2,326     FGLMC      6.000   08/01/26   2,584 
 94,549     FGLMC      3.000   09/01/26   99,509 
 264,602     FGLMC      3.000   10/01/26   278,557 
 360,798     FGLMC      3.500   10/01/26   379,692 
 9,582     FGLMC      5.000   10/01/26   10,454 
 2,469     FGLMC      5.500   10/01/26   2,715 
 1,512,062     FGLMC      3.000   02/01/27   1,591,846 
 975,258     FGLMC      2.500   05/01/27   1,023,418 
 1,049,088     FGLMC      2.500   11/01/27   1,100,969 
 38,199     FGLMC      6.000   12/01/27   42,432 
 829,036     FGLMC      2.500   01/01/28   870,060 
 2,134,403     FGLMC      2.500   03/01/28   2,240,071 
 51,982     FGLMC      5.000   03/01/28   56,722 
 1,188,548     FGLMC      2.500   05/01/28   1,247,417 
 5,583     FGLMC      5.500   05/01/28   6,143 
 3,363,083     FGLMC      2.500   07/01/28   3,564,862 
 3,042,287     FGLMC      2.500   07/01/28   3,193,042 
 781,339     FGLMC      3.000   10/01/28   822,607 
 39,181     FGLMC      5.500   01/01/29   43,150 
 2,067     FGLMC      6.500   01/01/29   2,300 
 7,642     FGLMC      4.000   02/01/29   8,132 
 1,612,664     FGLMC      3.500   03/01/29   1,703,748 
 401     FGLMC      6.500   03/01/29   454 
 3,089,670     FGLMC      3.000   07/01/29   3,252,410 
 9,309     FGLMC      6.500   07/01/29   10,357 
 11,230     FGLMC      5.000   12/01/29   12,573 
 8,578,613     FGLMC      2.500   05/01/30   9,002,589 
 20,823     FGLMC      4.000   08/01/30   22,205 
 142,662     FGLMC      4.500   01/01/31   155,137 
 348     FGLMC      8.000   01/01/31   361 
 138,335     FGLMC      4.000   03/01/31   148,737 
 18,064     FGLMC      4.000   05/01/31   19,428 
 125,384     FGLMC      4.500   05/01/31   136,884 
 64,421     FGLMC      4.000   06/01/31   69,290 
 165,181     FGLMC      4.000   08/01/31   177,604 
 169,948     FGLMC      4.000   09/01/31   181,419 
 2,438     FGLMC      6.500   09/01/31   2,737 
 7,165     FGLMC      8.000   09/01/31   8,485 
 87,753     FGLMC      3.500   11/01/31   93,890 
 12,539,755     FGLMC      2.500   12/01/31   13,160,611 
 38,602     FGLMC      7.000   12/01/31   44,799 
 11,440     FGLMC      6.500   01/01/32   13,261 
 27,959     FGLMC      6.000   02/01/32   32,493 
111

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$1,408,502     FGLMC      3.000%  03/01/32  $1,499,403 
 11,870     FGLMC      7.000   04/01/32   13,867 
 10,831     FGLMC      6.500   05/01/32   12,420 
 963,765     FGLMC      3.500   09/01/32   1,031,502 
 6,999     FGLMC      5.500   11/01/32   7,941 
 15,807,405     FGLMC      3.000   01/01/33   16,618,892 
 9,278     FGLMC      6.000   02/01/33   10,653 
 37,119     FGLMC      5.000   03/01/33   42,129 
 18,649     FGLMC      6.000   03/01/33   20,753 
 15,701     FGLMC      6.000   03/01/33   17,482 
 16,194     FGLMC      5.000   04/01/33   17,754 
 4,348     FGLMC      6.000   04/01/33   5,050 
 227,259     FGLMC      5.000   06/01/33   249,185 
 84,263     FGLMC      5.500   06/01/33   96,335 
 56,265,462     FGLMC      2.500   07/01/33   59,048,095 
 1,857,817     FGLMC      3.500   07/01/33   1,988,490 
 34,639     FGLMC      4.500   07/01/33   37,816 
 7,260,168     FGLMC      4.000   08/01/33   7,692,883 
 3,193     FGLMC      5.000   08/01/33   3,657 
 11,558     FGLMC      6.500   08/01/33   13,733 
 111,185     FGLMC      5.000   09/01/33   127,445 
 69,747     FGLMC      5.500   09/01/33   79,168 
 46,749     FGLMC      5.500   09/01/33   52,464 
 13,193     FGLMC      5.500   09/01/33   14,679 
 44,396     FGLMC      5.500   09/01/33   49,480 
 20,806     FGLMC      4.000   10/01/33   22,152 
 6,140     FGLMC      5.000   10/01/33   7,033 
 85,741     FGLMC      5.500   10/01/33   97,834 
 5,410,771     FGLMC      3.500   11/01/33   5,692,942 
 59,349     FGLMC      5.500   12/01/33   67,627 
 19,918     FGLMC      5.500   12/01/33   22,848 
 236,453     FGLMC      7.000   12/01/33   277,159 
 186,946     FGLMC      5.000   01/01/34   214,420 
 2,393,408     FGLMC      3.000   02/01/34   2,515,609 
 4,183     FGLMC      5.500   02/01/34   4,797 
 23,445     FGLMC      5.000   03/01/34   26,851 
 25,607     FGLMC      5.500   03/01/34   29,368 
 74,640     FGLMC      5.000   05/01/34   85,509 
 27,624     FGLMC      4.500   06/01/34   30,167 
 59,824     FGLMC      5.000   06/01/34   68,505 
 16,489     FGLMC      5.500   06/01/34   18,879 
 13,110     FGLMC      6.000   06/01/34   15,242 
 39,836     FGLMC      6.000   09/01/34   46,492 
 3,672,932     FGLMC      3.500   10/01/34   3,920,635 
 5,940     FGLMC      5.000   11/01/34   6,815 
 218,242     FGLMC      5.500   11/01/34   250,046 
 219,274     FGLMC      5.000   12/01/34   251,036 
 39,036     FGLMC      5.500   12/01/34   44,794 
 7,677     FGLMC      5.500   12/01/34   8,444 
 3,274     FGLMC      5.500   01/01/35   3,762 
 1,653     FGLMC      5.500   01/01/35   1,896 
 23,606     FGLMC      5.500   01/01/35   27,056 
 81,219     FGLMC      4.500   04/01/35   88,713 
 10,269     FGLMC      6.000   05/01/35   11,976 
112

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$81,469     FGLMC      6.000%  05/01/35  $91,893 
 70,628     FGLMC      7.000   05/01/35   82,206 
 16,058     FGLMC      5.500   06/01/35   18,425 
 10,872     FGLMC      5.500   06/01/35   12,486 
 4,810     FGLMC      5.000   07/01/35   5,378 
 294,182     FGLMC      5.000   07/01/35   337,595 
 33,369     FGLMC      6.000   07/01/35   37,076 
 390,515     FGLMC      5.000   08/01/35   448,041 
 14,302     FGLMC      5.500   08/01/35   15,728 
 82,727     FGLMC      6.000   08/01/35   91,906 
 5,426     FGLMC      4.500   09/01/35   5,959 
 59,028     FGLMC      5.000   10/01/35   67,667 
 30,862     FGLMC      5.000   10/01/35   35,343 
 19,321     FGLMC      5.000   10/01/35   21,988 
 187,672     FGLMC      5.500   10/01/35   207,073 
 42,623     FGLMC      5.000   12/01/35   48,089 
 6,535     FGLMC      5.000   12/01/35   7,502 
 24,145     FGLMC      6.000   01/01/36   28,069 
 12,560     FGLMC      5.000   02/01/36   14,416 
 5,137     FGLMC      5.000   02/01/36   5,895 
 5,597     FGLMC      6.000   02/01/36   6,514 
 39,753     FGLMC      5.500   04/01/36   44,146 
 13,024     FGLMC      5.500   05/01/36   14,936 
 211,323     FGLMC      6.000   06/01/36   245,965 
 58,913     FGLMC      5.000   07/01/36   67,640 
 92,971     FGLMC      6.000   07/01/36   108,243 
 12,048     FGLMC      6.000   08/01/36   13,998 
 6,684     FGLMC      6.000   09/01/36   7,435 
 216,758     FGLMC      5.500   10/01/36   247,016 
 111,133     FGLMC      5.500   10/01/36   127,377 
 20,971     FGLMC      6.500   10/01/36   24,151 
 9,983     FGLMC      5.500   11/01/36   11,479 
 24,103     FGLMC      6.000   11/01/36   28,100 
 167,211     FGLMC      6.000   12/01/36   195,229 
 201,277     FGLMC      5.500   03/01/37   231,355 
 79,754     FGLMC      6.000   03/01/37   93,018 
 7,774     FGLMC      6.500   03/01/37   8,975 
 72,257     FGLMC      5.500   04/01/37   82,945 
 10,646     FGLMC      5.000   05/01/37   12,194 
 8,643     FGLMC      5.000   06/01/37   9,815 
 33,103     FGLMC      5.500   06/01/37   38,039 
 12,471,629     FGLMC      3.000   07/01/37   13,186,180 
 118,782     FGLMC      6.000   07/01/37   138,036 
 58,722     FGLMC      6.000   08/01/37   68,375 
 21,269     FGLMC      6.000   09/01/37   24,753 
 180,393     FGLMC      5.500   10/01/37   200,946 
 6,221     FGLMC      6.000   11/01/37   7,137 
 67,100     FGLMC      6.500   11/01/37   76,726 
 27,353     FGLMC      6.000   01/01/38   31,894 
 10,721     FGLMC      6.000   02/01/38   12,479 
 81,298     FGLMC      6.000   02/01/38   94,725 
 129,929     FGLMC      5.000   03/01/38   148,993 
 364,854     FGLMC      5.000   03/01/38   419,076 
 14,448     FGLMC      5.000   04/01/38   16,578 
113

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$148,027     FGLMC      5.000%  04/01/38  $169,830 
 177,658     FGLMC      5.500   04/01/38   203,769 
 37,409     FGLMC      5.500   05/01/38   42,923 
 4,360     FGLMC      5.500   06/01/38   5,000 
 10,555     FGLMC      6.000   07/01/38   12,190 
 21,205     FGLMC      5.500   08/01/38   24,362 
 143,434     FGLMC      5.500   08/01/38   164,819 
 18,065     FGLMC      5.000   09/01/38   20,709 
 242,346     FGLMC      5.500   09/01/38   277,338 
 66,347     FGLMC      5.500   09/01/38   75,969 
 4,798     FGLMC      5.500   10/01/38   5,490 
 88,540     FGLMC      6.000   11/01/38   102,795 
 616,176     FGLMC      5.500   01/01/39   707,166 
 501,789     FGLMC      4.500   02/01/39   557,145 
 259,160     FGLMC      5.000   02/01/39   297,167 
 17,078     FGLMC      5.500   02/01/39   19,534 
 928     FGLMC      4.500   03/01/39   1,004 
 106,624     FGLMC      5.000   03/01/39   122,430 
 12,295     FGLMC      6.000   03/01/39   14,289 
 20,211     FGLMC      4.500   04/01/39   22,637 
 759,155     FGLMC      4.500   04/01/39   845,137 
 188,300     FGLMC      4.000   05/01/39   206,769 
 4,956     FGLMC      4.500   05/01/39   5,508 
 107,652     FGLMC      4.500   05/01/39   119,669 
 2,345,268     FGLMC      4.500   05/01/39   2,609,433 
 254,592     FGLMC      4.500   05/01/39   282,631 
 96,872     FGLMC      5.000   05/01/39   111,136 
 243,354     FGLMC      4.000   06/01/39   266,815 
 1,110,911     FGLMC      4.500   06/01/39   1,234,652 
 38,230     FGLMC      4.500   06/01/39   42,530 
 15,885     FGLMC      5.000   06/01/39   18,264 
 6,340     FGLMC      5.500   06/01/39   7,264 
 377,736     FGLMC      4.000   07/01/39   414,792 
 149,599     FGLMC      4.500   07/01/39   166,344 
 13,056     FGLMC      4.500   07/01/39   14,523 
 28,938     FGLMC      4.500   07/01/39   32,181 
 92,320     FGLMC      5.000   07/01/39   105,966 
 141,596     FGLMC      5.500   07/01/39   161,678 
 13,472     FGLMC      4.500   08/01/39   14,982 
 29,942     FGLMC      5.000   08/01/39   34,352 
 151,045     FGLMC      4.000   09/01/39   165,312 
 682,579     FGLMC      5.000   09/01/39   782,632 
 253,208     FGLMC      5.000   09/01/39   290,713 
 4,470     FGLMC      5.500   09/01/39   5,060 
 270,601     FGLMC      6.500   09/01/39   309,991 
 64,963     FGLMC      4.500   10/01/39   73,488 
 45,846     FGLMC      4.500   10/01/39   51,368 
 102,662     FGLMC      4.500   10/01/39   114,185 
 29,750     FGLMC      5.000   10/01/39   34,137 
 21,771     FGLMC      4.000   11/01/39   23,902 
 67,529     FGLMC      4.500   11/01/39   75,085 
 24,973     FGLMC      5.000   11/01/39   28,680 
 10,163     FGLMC      5.000   11/01/39   11,096 
 65,691     FGLMC      4.500   12/01/39   72,218 
114

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$133,718     FGLMC      4.500%  12/01/39  $148,545 
 61,225     FGLMC      4.500   12/01/39   68,119 
 247,027     FGLMC      4.500   12/01/39   273,995 
 101,456     FGLMC      5.500   12/01/39   116,256 
 127,832     FGLMC      4.500   01/01/40   142,138 
 13,114     FGLMC      5.000   01/01/40   15,061 
 16,954     FGLMC      5.500   01/01/40   19,369 
 42,935     FGLMC      5.500   03/01/40   49,203 
 679,052     FGLMC      4.000   04/01/40   746,044 
 29,077     FGLMC      4.500   04/01/40   32,455 
 101,663     FGLMC      4.500   04/01/40   113,081 
 74,000     FGLMC      5.000   04/01/40   85,012 
 176,620     FGLMC      5.000   04/01/40   203,015 
 562,921     FGLMC      6.000   04/01/40   657,223 
 1,660,931     FGLMC      4.500   05/01/40   1,847,077 
 928,658     FGLMC      5.000   05/01/40   1,067,446 
 4,616     FGLMC      4.500   06/01/40   5,128 
 406,749     FGLMC      5.500   06/01/40   465,852 
 714,419     FGLMC      4.500   07/01/40   793,555 
 15,628     FGLMC      4.500   08/01/40   17,367 
 153,754     FGLMC      5.000   08/01/40   176,653 
 41,224     FGLMC      5.000   08/01/40   47,376 
 383,606     FGLMC      5.000   08/01/40   440,793 
 2,184,327     FGLMC      5.500   08/01/40   2,501,989 
 231,950     FGLMC      4.000   09/01/40   254,259 
 2,736,604     FGLMC      4.000   11/01/40   3,001,131 
 1,638,858     FGLMC      4.000   12/01/40   1,797,936 
 326,129     FGLMC      3.500   01/01/41   352,606 
 482,475     FGLMC      3.500   01/01/41   521,668 
 271,858     FGLMC      4.000   01/01/41   298,050 
 299,998     FGLMC      3.500   02/01/41   324,330 
 1,056,029     FGLMC      4.000   02/01/41   1,157,496 
 391,579     FGLMC      4.000   02/01/41   429,096 
 1,695,957     FGLMC      4.000   04/01/41   1,857,874 
 289,220     FGLMC      4.500   04/01/41   321,480 
 61,266     FGLMC      5.000   04/01/41   70,371 
 285,128     FGLMC      4.500   05/01/41   317,319 
 306,086     FGLMC      4.500   06/01/41   337,941 
 925,060     FGLMC      3.500   10/01/41   1,000,171 
 679,585     FGLMC      5.000   10/01/41   781,274 
 1,170,483     FGLMC      3.500   11/01/41   1,271,257 
 436,821     FGLMC      4.500   12/01/41   486,232 
 4,156,584     FGLMC      3.500   01/01/42   4,494,784 
 1,227,189     FGLMC      3.500   02/01/42   1,327,299 
 1,390,330     FGLMC      3.500   04/01/42   1,500,625 
 2,644,782     FGLMC      4.000   05/01/42   2,905,065 
 8,018,767     FGLMC      4.500   05/01/42   8,914,568 
 1,756,897     FGLMC      3.500   07/01/42   1,905,400 
 546,296     FGLMC      3.000   08/01/42   585,181 
 3,277,837     FGLMC      3.000   10/01/42   3,511,603 
 2,181,434     FGLMC      3.000   10/01/42   2,337,592 
 891,799     FGLMC      3.500   12/01/42   965,604 
 2,935,261     FGLMC      2.500   01/01/43   3,109,008 
 6,247,209     FGLMC      3.000   01/01/43   6,692,344 
115

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$9,424,823     FGLMC      3.000%  04/01/43  $10,098,786 
 20,847,527     FGLMC      3.000   04/01/43   22,341,042 
 2,871,794     FGLMC      3.500   05/01/43   3,107,483 
 3,741,727     FGLMC      3.000   08/01/43   4,007,832 
 2,444,070     FGLMC      3.000   08/01/43   2,618,746 
 3,050,718     FGLMC      3.500   08/01/43   3,298,140 
 1,148,467     FGLMC      4.500   10/01/43   1,278,692 
 1,667,147     FGLMC      4.000   11/01/43   1,829,836 
 3,203,686     FGLMC      3.500   02/01/44   3,454,648 
 2,514,448     FGLMC      4.000   02/01/44   2,760,149 
 16,207,251     FGLMC      4.000   02/01/44   17,913,717 
 1,163,490     FGLMC      4.000   04/01/44   1,272,511 
 1,470,778     FGLMC      4.500   05/01/44   1,634,670 
 2,642,686     FGLMC      4.000   06/01/44   2,889,200 
 4,095,975     FGLMC      4.000   08/01/44   4,475,428 
 3,282,853     FGLMC      3.500   09/01/44   3,517,259 
 4,216,175     FGLMC      3.500   11/01/44   4,521,894 
 5,806,053     FGLMC      3.500   12/01/44   6,196,016 
 3,652,206     FGLMC      3.500   01/01/45   3,923,933 
 7,098,504     FGLMC      3.000   02/01/45   7,551,922 
 9,024,172     FGLMC      3.500   03/01/45   9,661,319 
 4,604,343     FGLMC      4.000   03/01/45   4,997,306 
 3,404,619     FGLMC      3.000   04/01/45   3,617,969 
 6,452,160     FGLMC      3.500   04/01/45   6,885,448 
 15,219,404     FGLMC      3.500   07/01/45   16,366,273 
 10,118,422     FGLMC      4.500   07/01/45   11,071,654 
 30,473,141     FGLMC      3.000   08/01/45   32,630,280 
 22,318,812     FGLMC      3.500   10/01/45   24,401,514 
 5,657,893     FGLMC      4.000   11/01/45   6,109,802 
 11,560,999     FGLMC      3.500   12/01/45   12,329,444 
 26,418,048     FGLMC      3.000   03/01/46   27,983,149 
 9,065,675     FGLMC      3.500   03/01/46   9,679,054 
 4,147,995     FGLMC      4.000   03/01/46   4,475,448 
 19,931,846     FGLMC      3.000   04/01/46   21,111,551 
 21,254,160     FGLMC      3.500   05/01/46   22,661,896 
 13,509,897     FGLMC      3.500   08/01/46   14,447,120 
 26,496,518     FGLMC      3.000   09/01/46   28,078,968 
 10,088,149     FGLMC      4.000   09/01/46   10,690,507 
 9,860,163     FGLMC      3.000   11/01/46   10,435,662 
 34,949,277     FGLMC      3.000   11/01/46   36,872,097 
 10,511,575     FGLMC      3.000   11/01/46   11,123,570 
 6,722,942     FGLMC      3.000   12/01/46   7,104,063 
 9,274,658     FGLMC      3.500   12/01/46   9,854,504 
 14,179,935     FGLMC      3.000   02/01/47   14,995,001 
 5,849,750     FGLMC      3.500   02/01/47   6,210,225 
 4,969,515     FGLMC      4.000   02/01/47   5,322,907 
 12,662,157     FGLMC      3.500   05/01/47   13,364,999 
 6,080,769     FGLMC      3.000   08/01/47   6,418,440 
 8,615,443     FGLMC      3.000   11/01/47   9,095,323 
 14,493,716     FGLMC      3.000   12/01/47   15,293,537 
 25,404,812     FGLMC      3.000   01/01/48   27,143,908 
 16,558,191     FGLMC      3.000   02/01/48   17,454,218 
 12,037,462     FGLMC      3.500   03/01/48   12,753,986 
 13,587,040     FGLMC      3.500   05/01/48   14,319,935 
116

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$10,562,598     FGLMC      4.000%  05/01/48  $11,235,463 
 15,747,028     FGLMC      3.500   07/01/48   16,554,954 
 16,191,037     FGLMC      4.000   07/01/48   17,152,009 
 29,084,765     FGLMC      4.000   08/01/48   30,792,253 
 4,908,916     FGLMC      4.500   09/01/48   5,278,804 
 23,570,139     FGLMC      4.000   10/01/48   24,962,150 
 12,951,562     FGLMC      4.500   12/01/48   13,918,653 
 7,336,112     FGLMC      4.500   02/01/49   7,878,364 
 19,588,977     FGLMC      3.500   05/01/49   20,587,327 
 74     Federal National Mortgage Association (FNMA)      4.500   10/01/20   77 
 7     FNMA      4.500   11/01/20   7 
 1,294     FNMA      5.000   12/01/20   1,360 
 21     FNMA      5.500   01/01/21   21 
 6     FNMA      5.000   03/01/21   6 
 2,336     FNMA      5.500   08/01/21   2,378 
 475     FNMA      6.000   08/01/21   483 
 166     FNMA      5.000   10/01/21   175 
 6     FNMA      5.000   11/01/21   7 
 169     FNMA      5.500   11/01/21   170 
 2,635     FNMA      5.500   10/01/22   2,720 
 1,405     FNMA      6.000   10/01/22   1,456 
 794     FNMA      5.000   03/01/23   835 
 667     FNMA      4.500   04/01/23   702 
 18,793     FNMA      4.500   06/01/23   19,896 
 2,178     FNMA      5.000   06/01/23   2,290 
 3,413     FNMA      5.500   06/01/23   3,752 
 5,158     FNMA      5.000   07/01/23   5,421 
 32,043     FNMA      5.000   07/01/23   33,694 
 2,860     FNMA      5.500   08/01/23   3,002 
 6,743     FNMA      5.000   11/01/23   7,350 
 211     FNMA      5.500   11/01/23   212 
 32,039     FNMA      5.500   01/01/24   32,749 
 7,191     FNMA      5.500   02/01/24   7,905 
 30,652     FNMA      4.000   03/01/24   32,420 
 2,550     FNMA      4.500   04/01/24   2,718 
 120,930     FNMA      4.000   05/01/24   127,863 
 34,887     FNMA      4.000   05/01/24   36,889 
 3,213     FNMA      4.000   06/01/24   3,399 
 3,949     FNMA      4.500   07/01/24   4,191 
 4,036     FNMA      5.500   07/01/24   4,437 
 91     FNMA      8.000   07/01/24   100 
 21,443     FNMA      4.500   08/01/24   22,608 
 22,328     FNMA      4.000   09/01/24   23,630 
 79,445     FNMA      4.000   09/01/24   84,052 
 7,198     FNMA      4.500   09/01/24   7,677 
 193,764     FNMA      4.500   10/01/24   206,662 
 11,061     FNMA      5.000   01/01/25   12,063 
 16,574     FNMA      4.500   02/01/25   17,679 
 113,703     FNMA      4.500   03/01/25   120,022 
 1,934     FNMA      4.500   03/01/25   2,036 
 48,413     FNMA      5.000   03/01/25   52,801 
 87,983     FNMA      4.500   04/01/25   93,835 
 33,086     FNMA      4.500   04/01/25   35,243 
 448,804     FNMA      4.000   05/01/25   474,716 
117

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$158,127     FNMA      4.000%  06/01/25  $167,279 
 94,510     FNMA      4.500   06/01/25   100,049 
 44,408     FNMA      4.000   08/01/25   46,980 
 23,807     FNMA      5.500   08/01/25   26,441 
 209,570     FNMA      3.500   09/01/25   220,243 
 218,464     FNMA      4.000   09/01/25   231,032 
 345,734     FNMA      3.500   10/01/25   363,634 
 272,557     FNMA      3.500   10/01/25   286,538 
 112,824     FNMA      5.000   10/01/25   123,125 
 191,214     FNMA      4.000   11/01/25   202,394 
 294,177     FNMA      3.500   12/01/25   309,339 
 231,398     FNMA      3.500   02/01/26   243,328 
 1,334,289     FNMA      3.500   02/01/26   1,403,064 
 70,023     FNMA      4.000   03/01/26   74,269 
 193,876     FNMA      4.000   06/01/26   205,664 
 186,148     FNMA      3.500   08/01/26   195,762 
 144,952     FNMA      3.500   09/01/26   152,455 
 77,767     FNMA      4.000   09/01/26   82,495 
 233,291     FNMA      3.500   10/01/26   245,416 
 5,229     FNMA      6.000   10/01/26   5,814 
 337,804     FNMA      3.000   11/01/26   354,922 
 296,664     FNMA      3.000   12/01/26   312,123 
 796,795     FNMA      3.000   01/01/27   838,510 
 874,112     FNMA      4.000   01/01/27   924,694 
 600,831     FNMA      3.500   02/01/27   631,967 
 953,627     FNMA      3.000   04/01/27   1,003,843 
 631,250     FNMA      3.000   04/01/27   664,231 
 373,977     FNMA      3.500   05/01/27   395,748 
 391,964     FNMA      2.500   06/01/27   411,193 
 1,062,634     FNMA      3.000   06/01/27   1,118,641 
 472,648     FNMA      2.500   07/01/27   495,884 
 1,006,823     FNMA      2.500   09/01/27   1,056,224 
 11,128     FNMA      5.500   09/01/27   12,241 
 1,711,414     FNMA      2.500   10/01/27   1,795,401 
 1,048,121     FNMA      3.000   11/01/27   1,103,405 
 2,001     FNMA      5.500   01/01/28   2,205 
 4,033,641     FNMA      2.500   02/01/28   4,279,611 
 3,276,328     FNMA      2.500   02/01/28   3,437,408 
 1,535     FNMA      5.000   02/01/28   1,674 
 2,396,620     FNMA      2.500   04/01/28   2,512,142 
 3,544,728     FNMA      2.500   04/01/28   3,718,476 
 8,816     FNMA      5.500   06/01/28   9,715 
 955,581     FNMA      2.500   07/01/28   1,002,558 
 1,931,755     FNMA      2.500   08/01/28   2,026,618 
 2,784,388     FNMA      3.000   10/01/28   2,930,013 
 1,486     FNMA      5.500   11/01/28   1,635 
 8     FNMA      7.500   01/01/29   9 
 3,149,031     FNMA      3.000   03/01/29   3,313,374 
 13,635     FNMA      4.000   03/01/29   14,529 
 11,020,445     FNMA      3.000   04/01/29   11,661,928 
 44,027     FNMA      4.500   04/01/29   47,373 
 36,047     FNMA      4.000   05/01/29   38,410 
 18,133     FNMA      4.500   06/01/29   19,521 
 6,226     FNMA      4.000   07/01/29   6,637 
118

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$115,676     FNMA      4.500%  08/01/29  $124,536 
 13,887,043     FNMA      3.500   09/01/29   14,866,036 
 22,536     FNMA      4.500   09/01/29   24,261 
 24,940     FNMA      4.500   11/01/29   27,079 
 6,221     FNMA      4.500   01/01/30   6,765 
 1,972,865     FNMA      2.500   02/01/30   2,069,707 
 15,800     FNMA      4.000   03/01/30   16,865 
 6,835     FNMA      4.500   05/01/30   7,433 
 9,783     FNMA      4.500   06/01/30   10,638 
 4,401,068     FNMA      3.000   07/01/30   4,635,355 
 89,638     FNMA      4.500   08/01/30   97,496 
 19,459     FNMA      4.000   09/01/30   20,773 
 126,340     FNMA      4.000   10/01/30   134,883 
 1,114,916     FNMA      4.000   11/01/30   1,200,118 
 189,490     FNMA      4.000   11/01/30   203,970 
 42,540     FNMA      4.500   12/01/30   46,419 
 4,251,428     FNMA      3.000   02/01/31   4,477,075 
 62,999     FNMA      3.500   02/01/31   67,162 
 67,581     FNMA      4.000   02/01/31   72,751 
 520     FNMA      7.500   03/01/31   625 
 4,962,103     FNMA      2.500   04/01/31   5,205,197 
 186,727     FNMA      3.500   04/01/31   196,333 
 20,855     FNMA      4.000   04/01/31   22,451 
 4,262,433     FNMA      3.000   05/01/31   4,488,704 
 1,904     FNMA      6.000   05/01/31   2,205 
 5,327,694     FNMA      2.500   06/01/31   5,588,955 
 727,433     FNMA      4.500   07/01/31   800,881 
 107,871     FNMA      4.500   07/01/31   117,740 
 634,394     FNMA      4.000   08/01/31   682,713 
 6,723,520     FNMA      2.500   09/01/31   7,054,117 
 3,580,659     FNMA      3.000   09/01/31   3,771,288 
 44,911     FNMA      4.000   09/01/31   48,343 
 307     FNMA      6.500   09/01/31   347 
 20,335     FNMA      6.000   11/01/31   23,624 
 2,611     FNMA      6.500   11/01/31   2,978 
 7,120,438     FNMA      2.500   12/01/31   7,471,270 
 1,211,409     FNMA      3.500   01/01/32   1,295,701 
 6,871     FNMA      6.000   01/01/32   7,975 
 1,459     FNMA      6.000   01/01/32   1,620 
 511,190     FNMA      3.500   02/01/32   546,845 
 4,738     FNMA      6.000   02/01/32   5,412 
 5,611,566     FNMA      3.000   03/01/32   5,899,966 
 21,317     FNMA      6.500   04/01/32   25,161 
 20,024,479     FNMA      3.000   06/01/32   21,035,942 
 39,812     FNMA      6.500   07/01/32   45,222 
 6,776     FNMA      6.500   08/01/32   7,618 
 563,656     FNMA      3.000   09/01/32   598,862 
 17,197     FNMA      7.500   09/01/32   20,021 
 1,668,470     FNMA      3.000   10/01/32   1,762,646 
 32,727     FNMA      5.500   10/01/32   37,074 
 34,843     FNMA      6.000   10/01/32   38,778 
 9,964     FNMA      6.000   11/01/32   11,562 
 13,106,607     FNMA      3.000   12/01/32   13,783,078 
 572     FNMA      5.500   12/01/32   629 
119

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$13,339     FNMA      5.500%  12/01/32  $15,243 
 13,933     FNMA      6.000   12/01/32   16,107 
 91,204     FNMA      5.500   01/01/33   102,467 
 213,897     FNMA      6.000   01/01/33   248,834 
 99,878     FNMA      5.000   02/01/33   113,966 
 4,566     FNMA      5.000   02/01/33   5,009 
 1,163,566     FNMA      3.000   04/01/33   1,235,965 
 1,413,158     FNMA      3.500   04/01/33   1,512,061 
 4,828     FNMA      6.000   04/01/33   5,603 
 11,175,706     FNMA      3.500   05/01/33   11,788,318 
 639,408     FNMA      5.500   05/01/33   729,575 
 36,616     FNMA      5.000   06/01/33   41,837 
 77,848     FNMA      5.500   06/01/33   89,042 
 10,942     FNMA      4.500   07/01/33   11,886 
 37,385     FNMA      5.000   07/01/33   42,831 
 65,852     FNMA      4.500   08/01/33   71,397 
 3,963     FNMA      4.500   08/01/33   4,255 
 13,518     FNMA      5.000   08/01/33   15,514 
 50,943     FNMA      5.500   09/01/33   56,074 
 116,453     FNMA      5.500   09/01/33   129,021 
 7,722     FNMA      6.000   09/01/33   8,658 
 104,044     FNMA      4.500   10/01/33   113,787 
 15,690     FNMA      5.000   10/01/33   17,998 
 11,184     FNMA      5.000   10/01/33   12,628 
 148,347     FNMA      5.500   10/01/33   165,196 
 389,483     FNMA      5.500   10/01/33   439,329 
 6,467     FNMA      4.500   11/01/33   7,067 
 20,364     FNMA      5.000   11/01/33   23,358 
 1,355,873     FNMA      5.000   11/01/33   1,555,147 
 157,754     FNMA      5.000   12/01/33   180,890 
 200,052     FNMA      5.500   12/01/33   229,544 
 2,120,800     FNMA      3.000   01/01/34   2,254,922 
 61,876     FNMA      5.000   02/01/34   70,967 
 257,843     FNMA      6.000   02/01/34   300,301 
 15,354     FNMA      5.000   03/01/34   17,608 
 6,547     FNMA      5.000   03/01/34   7,509 
 365,401     FNMA      5.000   03/01/34   419,070 
 8,324     FNMA      5.000   03/01/34   9,548 
 18,008     FNMA      5.000   03/01/34   20,653 
 5,339     FNMA      5.000   03/01/34   6,124 
 52,467     FNMA      5.000   04/01/34   60,192 
 55,087     FNMA      5.500   04/01/34   63,171 
 27,406     FNMA      4.500   05/01/34   29,736 
 14,706     FNMA      4.500   05/01/34   16,068 
 12,676     FNMA      5.500   07/01/34   14,534 
 19,823     FNMA      5.500   07/01/34   22,714 
 19,241     FNMA      7.000   07/01/34   22,483 
 149,826     FNMA      5.000   08/01/34   171,886 
 16,875     FNMA      5.000   08/01/34   19,360 
 87,039     FNMA      6.000   08/01/34   101,520 
 15,633     FNMA      6.000   08/01/34   18,215 
 9,378     FNMA      4.500   09/01/34   10,251 
 306,351     FNMA      5.500   09/01/34   351,360 
 3,104     FNMA      5.500   11/01/34   3,561 
120

TIAA-CREF FUNDS – Bond Index Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  VALUE 
$9,365     FNMA      6.000%  11/01/34  $10,411 
 27,441,555     FNMA      2.500   12/01/34   28,742,668 
 26,452,095     FNMA      3.000   12/01/34   27,798,711 
 4,780     FNMA      5.000   12/01/34   5,482 
 2,866     FNMA      5.500   12/01/34   3,287 
 9,782     FNMA      6.000   12/01/34   11,035 
 443,338     FNMA      4.500   01/01/35   485,004 
 30,600     FNMA      5.500   01/01/35   34,266 
 18,750,000  h  FNMA      3.500   02/01/35   19,947,880 
 923,071     FNMA      5.500   02/01/35   1,058,483 
 40,246     FNMA      5.500   02/01/35   46,179 
 9,311,188     FNMA      2.000   03/01/35   9,633,643 
 19,473,027     FNMA      2.500   03/01/35   20,396,320 
 263,445     FNMA      5.500   04/01/35   293,270 
 38,036     FNMA      6.000   04/01/35   44,366 
 36,166     FNMA      6.000   04/01/35   42,183 
 59,233     FNMA      6.000   05/01/35   68,517 
 15,673     FNMA      5.000   06/01/35   17,980 
 1,732  i  FNMA  LIBOR 12 M + 1.570%   3.674   07/01/35   1,743 
 46,830     FNMA      5.000   07/01/35   53,731 
 5,074,914     FNMA      3.000   08/01/35   5,370,538 
 98,173     FNMA      4.500   08/01/35   107,288 
 102,221     FNMA      5.000   08/01/35   117,145 
 62,533     FNMA      5.000   08/01/35   71,691 
 3,780     FNMA      4.500   09/01/35   4,140 
 4,656     FNMA      4.500   09/01/35   5,094 
 11,533     FNMA      5.500   09/01/35   13,233 
 44,265     FNMA      5.000   10/01/35   48,918 
 112,276     FNMA      5.500   10/01/35   128,629 
 3,223     FNMA      5.000   11/01/35   3,376 
 145,367     FNMA      5.500   11/01/35   166,922 
 1,097     FNMA      4.500   12/01/35   1,178 
 46,900     FNMA      5.500   12/01/35   51,557 
 6,249,458     FNMA      3.500   01/01/36   6,685,023 
 39,433  i  FNMA  LIBOR 12 M + 1.535%   3.535   02/01/36   39,726 
 335,526     FNMA      5.000   02/01/36   385,135 
 154,329     FNMA      6.000   03/01/36   179,724 
 2,261,253     FNMA      3.500   05/01/36   2,428,797 
 2,842     FNMA      5.000   05/01/36   3,254 
 213,560     FNMA      6.000   06/01/36   245,301 
 26,011  i  FNMA  LIBOR 12 M + 1.585%   4.210   07/01/36   26,129 
 16,011     FNMA      6.000   07/01/36   18,624 
 69,891     FNMA      6.500   07/01/36   79,739 
 16,918,089     FNMA      3.000   08/01/36   17,911,484 
 83,251     FNMA      5.500   08/01/36   91,518 
 137,641     FNMA      6.500   08/01/36   164,132 
 2,971,738     FNMA      3.000   09/01/36   3,145,914 
 11,096     FNMA      5.500   09/01/36   12,708 
 4,048     FNMA      6.500   09/01/36   4,637 
 14,144     FNMA      6.500   09/01/36   16,962 
 19,821     FNMA      6.000   10/01/36   23,125 
 6,139,531     FNMA      3.000   11/01/36   6,500,127 
 9,583     FNMA      6.500   11/01/36   11,176 
 1,578  i  FNMA  LIBOR 12 M + 1.725%   3.948   12/01/36   1,590 
121

TIAA-CREF FUNDS – Bond Index Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  VALUE 
$57,154     FNMA      6.000%  12/01/36  $66,686 
 6,947  i  FNMA  LIBOR 12 M + 1.754%   3.795   01/01/37   7,074 
 25,377     FNMA      5.500   01/01/37   29,145 
 1,755  i  FNMA  LIBOR 6 M + 1.558%   3.419   02/01/37   1,812 
 180,541     FNMA      5.500   02/01/37   207,275 
 11,085     FNMA      6.000   02/01/37   12,913 
 12,748     FNMA      7.000   02/01/37   14,986 
 3,378  i  FNMA  LIBOR 12 M + 1.823%   3.823   03/01/37   3,407 
 1,486     FNMA      5.000   03/01/37   1,704 
 61,575     FNMA      6.500   03/01/37   73,639 
 45,547     FNMA      6.500   03/01/37   51,654 
 48,692     FNMA      7.000   04/01/37   60,428 
 60,912     FNMA      5.000   05/01/37   69,569 
 3,273     FNMA      7.000   05/01/37   3,627 
 10,195  i  FNMA  LIBOR 12 M + 1.782%   3.734   06/01/37   10,270 
 14,734     FNMA      5.500   06/01/37   16,884 
 17,383     FNMA      5.500   08/01/37   19,963 
 7,110     FNMA      6.000   08/01/37   8,189 
 25,354     FNMA      6.500   08/01/37   28,719 
 3,318     FNMA      6.500   08/01/37   3,318 
 15,013     FNMA      5.500   09/01/37   16,503 
 32,477     FNMA      6.000   09/01/37   38,258 
 106,603     FNMA      6.000   09/01/37   126,179 
 59,981     FNMA      6.000   09/01/37   71,085 
 29,773     FNMA      6.000   09/01/37   34,605 
 83,477     FNMA      6.000   09/01/37   98,112 
 13,031     FNMA      6.500   09/01/37   14,844 
 4,256     FNMA      6.500   09/01/37   4,733 
 12,531  i  FNMA  DGS1 + 2.275%   4.169   10/01/37   12,602 
 10,533     FNMA      6.500   10/01/37   11,956 
 135,832     FNMA      5.500   11/01/37   155,408 
 233,117     FNMA      6.000   11/01/37   272,082 
 3,144     FNMA      7.000   11/01/37   3,298 
 6,782,187     FNMA      3.000   12/01/37   7,163,779 
 6,229,490     FNMA      4.000   01/01/38   6,699,808 
 512     FNMA      6.500   01/01/38   587 
 71,106     FNMA      5.500   02/01/38   81,152 
 26,716     FNMA      6.500   02/01/38   29,712 
 14,889     FNMA      7.000   02/01/38   18,093 
 12,782  i  FNMA  LIBOR 12 M + 1.770%   3.770   03/01/38   12,929 
 6,085     FNMA      5.000   03/01/38   6,952 
 2,952     FNMA      5.000   03/01/38   3,377 
 12,409     FNMA      5.500   03/01/38   14,196 
 4,406     FNMA      6.000   03/01/38   5,181 
 5,333     FNMA      6.500   03/01/38   6,364 
 5,099     FNMA      6.500   03/01/38   5,671 
 73,621     FNMA      6.500   03/01/38   85,344 
 15,125     FNMA      5.000   04/01/38   16,488 
 181,814     FNMA      5.500   04/01/38   208,389 
 198,708     FNMA      6.000   04/01/38   231,266 
 12,890     FNMA      4.500   05/01/38   13,921 
 719,787     FNMA      5.000   05/01/38   826,567 
 199,629     FNMA      5.000   05/01/38   228,636 
 469,395     FNMA      6.000   06/01/38   545,768 
122

TIAA-CREF FUNDS – Bond Index Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  VALUE 
$786,549     FNMA      6.500%  06/01/38  $903,840 
 166,210     FNMA      6.000   07/01/38   193,982 
 2,114  i  FNMA  LIBOR 12 M + 1.750%   4.000   08/01/38   2,129 
 1,873  i  FNMA  LIBOR 12 M + 1.603%   4.229   08/01/38   1,954 
 503,245     FNMA      6.000   09/01/38   587,038 
 10,814  i  FNMA  LIBOR 12 M + 1.321%   3.571   10/01/38   10,862 
 656     FNMA      6.000   10/01/38   731 
 6,493     FNMA      5.500   11/01/38   7,290 
 2,698     FNMA      5.000   12/01/38   3,081 
 488,462     FNMA      5.500   12/01/38   560,186 
 78,950     FNMA      4.500   01/01/39   87,552 
 62,808     FNMA      5.000   01/01/39   70,249 
 1,936,249     FNMA      5.000   01/01/39   2,214,291 
 69,118     FNMA      5.500   01/01/39   78,335 
 280,016     FNMA      5.500   01/01/39   321,658 
 17,817     FNMA      6.000   01/01/39   20,722 
 1,599     FNMA      6.000   01/01/39   1,776 
 109,616     FNMA      4.500   02/01/39   121,506 
 328,900     FNMA      4.500   02/01/39   365,035 
 157,479     FNMA      4.500   02/01/39   175,124 
 5,236     FNMA      5.500   02/01/39   5,990 
 339,687     FNMA      4.000   04/01/39   372,530 
 15,516     FNMA      5.500   04/01/39   17,752 
 592,729     FNMA      4.500   05/01/39   658,560 
 113,754     FNMA      4.500   05/01/39   126,476 
 306,486     FNMA      4.500   06/01/39   340,477 
 114,288     FNMA      4.500   06/01/39   127,067 
 221,573     FNMA      5.500   06/01/39   254,478 
 67,968     FNMA      4.500   07/01/39   75,577 
 75,668     FNMA      4.500   07/01/39   84,115 
 5,866  i  FNMA  LIBOR 12 M + 1.835%   4.567   07/01/39   6,142 
 8,130     FNMA      5.000   07/01/39   9,338 
 1,184,139     FNMA      4.000   08/01/39   1,298,683 
 189,395     FNMA      4.000   08/01/39   207,762 
 18,108  i  FNMA  LIBOR 12 M + 1.650%   4.142   08/01/39   18,461 
 8,979  i  FNMA  LIBOR 12 M + 1.690%   4.198   08/01/39   9,285 
 15,556     FNMA      4.500   08/01/39   17,417 
 769,844     FNMA      4.500   08/01/39   856,201 
 234,452     FNMA      4.500   08/01/39   260,662 
 1,013,423     FNMA      5.000   08/01/39   1,157,324 
 8,254     FNMA      5.000   08/01/39   9,268 
 443,734     FNMA      4.000   09/01/39   486,845 
 31,392     FNMA      5.000   09/01/39   36,025 
 175,433     FNMA      5.500   09/01/39   201,826 
 97,048     FNMA      6.000   09/01/39   113,242 
 359,196     FNMA      6.500   10/01/39   432,020 
 18,716     FNMA      5.000   11/01/39   21,495 
 469,235     FNMA      4.000   12/01/39   507,637 
 63,622     FNMA      4.500   12/01/39   71,365 
 114,702     FNMA      4.500   12/01/39   127,635 
 1,738,088     FNMA      4.500   12/01/39   1,931,977 
 11,785  i  FNMA  LIBOR 12 M + 1.815%   3.815   01/01/40   12,367 
 34,369     FNMA      4.500   01/01/40   38,216 
 38,323     FNMA      5.000   01/01/40   43,826 
123

TIAA-CREF FUNDS – Bond Index Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  VALUE 
$227,003     FNMA      6.000%  02/01/40  $264,940 
 19,464,422     FNMA      2.500   03/01/40   20,292,777 
 338,894     FNMA      4.500   03/01/40   377,100 
 175,515     FNMA      4.500   03/01/40   195,291 
 16,263     FNMA      5.000   03/01/40   18,688 
 23,654,520     FNMA      3.000   04/01/40   24,958,492 
 17,444     FNMA      4.500   04/01/40   19,407 
 586,311     FNMA      5.000   04/01/40   672,299 
 428,477     FNMA      5.000   04/01/40   492,224 
 24,850  i  FNMA  LIBOR 12 M + 1.874%   3.629   05/01/40   25,505 
 94,711  i  FNMA  LIBOR 12 M + 1.786%   3.695   05/01/40   99,372 
 58,090  i  FNMA  LIBOR 12 M + 1.842%   3.845   05/01/40   61,043 
 20,424     FNMA      4.500   05/01/40   22,843 
 14,451,997     FNMA      2.500   06/01/40   15,069,878 
 40,605     FNMA      4.500   07/01/40   45,143 
 42,584     FNMA      4.500   07/01/40   47,378 
 52,812     FNMA      5.000   07/01/40   60,588 
 9,849  i  FNMA  LIBOR 12 M + 1.805%   4.055   08/01/40   9,888 
 336,794     FNMA      4.500   08/01/40   374,793 
 476,203     FNMA      4.500   08/01/40   529,997 
 333,804     FNMA      5.000   08/01/40   382,905 
 799,943     FNMA      4.500   09/01/40   890,062 
 347,730     FNMA      4.500   09/01/40   386,875 
 645,129     FNMA      6.000   09/01/40   751,891 
 136,687     FNMA      3.500   10/01/40   147,773 
 1,279,507     FNMA      4.000   10/01/40   1,399,479 
 555,182     FNMA      4.000   10/01/40   606,896 
 765,669     FNMA      4.500   10/01/40   852,397 
 1,108,467     FNMA      3.500   11/01/40   1,199,136 
 1,207,663     FNMA      4.000   11/01/40   1,325,465 
 1,090,596     FNMA      4.000   11/01/40   1,197,614 
 672,052     FNMA      4.000   11/01/40   737,507 
 112,858     FNMA      4.500   11/01/40   125,641 
 26,901  i  FNMA  LIBOR 12 M + 1.823%   3.948   12/01/40   27,061 
 378,416     FNMA      4.000   12/01/40   415,233 
 2,722,112     FNMA      4.500   12/01/40   3,028,804 
 41,237     FNMA      3.500   01/01/41   44,599 
 205,067     FNMA      3.500   02/01/41   221,858 
 36,124  i  FNMA  LIBOR 12 M + 1.802%   3.808   02/01/41   37,892 
 1,015,491     FNMA      4.000   02/01/41   1,114,338 
 956,033     FNMA      4.000   03/01/41   1,049,760 
 688,925     FNMA      4.500   04/01/41   766,574 
 1,068,239     FNMA      4.500   05/01/41   1,189,118 
 153,850     FNMA      4.500   05/01/41   171,161 
 465,728     FNMA      4.500   06/01/41   518,021 
 84,556  i  FNMA  LIBOR 12 M + 1.786%   3.809   07/01/41   88,357 
 596,789     FNMA      4.500   07/01/41   663,983 
 1,567,937     FNMA      4.000   09/01/41   1,719,503 
 843,870     FNMA      4.500   09/01/41   938,951 
 289,452     FNMA      5.500   09/01/41   332,412 
 16,078  i  FNMA  LIBOR 12 M + 1.800%   3.675   10/01/41   16,199 
 93,028  i  FNMA  LIBOR 12 M + 1.838%   3.941   10/01/41   97,374 
 565,835     FNMA      3.500   11/01/41   614,425 
 611,932     FNMA      3.500   11/01/41   658,444 
124

TIAA-CREF FUNDS – Bond Index Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  VALUE 
$25,219,246     FNMA      3.500%  12/01/41  $27,245,597 
 3,952,173     FNMA      3.500   12/01/41   4,274,117 
 196,806  i  FNMA  LIBOR 12 M + 1.750%   3.817   12/01/41   205,487 
 649,730     FNMA      4.000   12/01/41   713,008 
 1,742,366     FNMA      3.500   03/01/42   1,884,740 
 1,109,865     FNMA      4.000   03/01/42   1,218,373 
 3,275,640     FNMA      3.500   04/01/42   3,544,786 
 1,180,323     FNMA      3.500   04/01/42   1,302,475 
 1,268,111     FNMA      4.500   04/01/42   1,410,805 
 1,165,210     FNMA      5.000   04/01/42   1,340,860 
 997,735     FNMA      4.000   05/01/42   1,095,209 
 1,077,749     FNMA      5.000   05/01/42   1,214,625 
 1,128,997     FNMA      3.000   06/01/42   1,209,301 
 4,777,836     FNMA      3.500   06/01/42   5,170,270 
 3,780,339     FNMA      4.000   06/01/42   4,152,033 
 2,541,034     FNMA      4.000   06/01/42   2,786,116 
 7,645,511     FNMA      3.500   07/01/42   8,274,042 
 1,427,322     FNMA      4.500   07/01/42   1,588,571 
 1,510,201     FNMA      3.500   08/01/42   1,633,029 
 2,649,739     FNMA      3.000   09/01/42   2,838,355 
 3,145,744     FNMA      3.500   09/01/42   3,402,445 
 14,286,298     FNMA      4.500   09/01/42   15,892,623 
 5,525,345     FNMA      3.000   10/01/42   5,919,337 
 1,544,712     FNMA      3.500   10/01/42   1,671,603 
 2,209,289     FNMA      2.500   01/01/43   2,339,447 
 6,945,069     FNMA      3.000   01/01/43   7,440,310 
 9,406,351     FNMA      3.000   02/01/43   10,077,557 
 18,247,457     FNMA      3.000   04/01/43   19,549,653 
 25,897,824     FNMA      3.000   04/01/43   27,827,467 
 2,364,629     FNMA      3.000   04/01/43   2,533,368 
 6,722,851     FNMA      3.000   04/01/43   7,200,193 
 380,707  i  FNMA  LIBOR 12 M + 1.695%   2.577   06/01/43   393,835 
 6,594,612     FNMA      3.000   06/01/43   7,062,518 
 5,546,351     FNMA      3.000   07/01/43   5,942,082 
 15,376,043     FNMA      3.500   07/01/43   16,622,522 
 4,746,996     FNMA      3.500   07/01/43   5,132,882 
 138,998  i  FNMA  LIBOR 12 M + 1.550%   3.803   07/01/43   143,467 
 4,985,165     FNMA      3.000   08/01/43   5,340,921 
 2,244,552     FNMA      4.000   08/01/43   2,482,624 
 3,979,477     FNMA      3.000   09/01/43   4,301,291 
 4,767,048     FNMA      3.500   09/01/43   5,151,394 
 3,543,533     FNMA      3.500   10/01/43   3,835,653 
 403,389     FNMA      4.500   10/01/43   448,978 
 1,221,201     FNMA      4.000   11/01/43   1,338,163 
 2,905,898     FNMA      4.000   11/01/43   3,191,010 
 841,986     FNMA      4.500   12/01/43   937,038 
 2,669,204     FNMA      4.500   12/01/43   2,970,901 
 3,235,662     FNMA      4.000   01/01/44   3,553,237 
 45,250,609     FNMA      4.000   03/01/44   50,022,923 
 2,254,868     FNMA      4.000   05/01/44   2,464,050 
 2,314,710     FNMA      4.000   07/01/44   2,520,646 
 2,649,693     FNMA      4.000   07/01/44   2,892,646 
 1,709,352     FNMA      3.500   09/01/44   1,837,056 
 2,218,253     FNMA      4.000   09/01/44   2,424,098 
125

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$5,644,292     FNMA      3.500%  10/01/44  $6,069,366 
 12,471,490     FNMA      5.000   11/01/44   14,306,490 
 2,481,826     FNMA      4.000   12/01/44   2,679,902 
 4,609,385     FNMA      3.000   01/01/45   4,927,437 
 14,314,413     FNMA      3.000   01/01/45   15,331,018 
 26,789,408     FNMA      3.500   01/01/45   28,873,402 
 8,765,209     FNMA      3.500   02/01/45   9,370,248 
 6,021,102     FNMA      3.000   04/01/45   6,396,332 
 9,192,584     FNMA      3.500   05/01/45   9,842,094 
 8,068,618     FNMA      3.500   07/01/45   8,673,825 
 10,937,932     FNMA      4.000   07/01/45   11,841,959 
 25,123,950     FNMA      3.500   09/01/45   27,165,440 
 14,375,436     FNMA      3.000   11/01/45   15,248,426 
 6,648,508     FNMA      3.500   11/01/45   7,118,455 
 16,381,319     FNMA      4.000   11/01/45   17,722,044 
 5,888,892     FNMA      3.500   12/01/45   6,259,341 
 17,412,559     FNMA      3.500   12/01/45   18,591,967 
 8,697,967     FNMA      3.500   12/01/45   9,312,968 
 24,056,360     FNMA      3.500   01/01/46   25,757,759 
 4,836,737     FNMA      3.500   02/01/46   5,177,936 
 14,637,577     FNMA      3.500   04/01/46   15,634,643 
 7,125,076     FNMA      4.500   05/01/46   7,742,097 
 6,019,954     FNMA      3.000   06/01/46   6,373,742 
 9,870,331     FNMA      3.500   07/01/46   10,498,248 
 14,765,086     FNMA      3.500   08/01/46   15,964,831 
 9,013,241     FNMA      4.000   08/01/46   9,687,066 
 9,728,311     FNMA      3.000   09/01/46   10,294,485 
 10,454,322     FNMA      3.000   10/01/46   11,064,715 
 20,095,744     FNMA      3.000   11/01/46   21,224,414 
 5,690,459     FNMA      3.500   12/01/46   6,048,911 
 67,218,829     FNMA      3.000   01/01/47   71,108,067 
 7,984,755     FNMA      3.000   02/01/47   8,444,585 
 7,004,635     FNMA      4.000   02/01/47   7,505,866 
 10,824,762     FNMA      3.000   03/01/47   11,448,916 
 8,934,034     FNMA      3.500   03/01/47   9,459,439 
 2,336,011     FNMA      4.000   03/01/47   2,492,933 
 1,396,125     FNMA      4.500   03/01/47   1,506,351 
 8,881,114     FNMA      3.000   04/01/47   9,427,505 
 14,876,104     FNMA      3.000   04/01/47   15,747,771 
 11,962,307     FNMA      3.500   04/01/47   12,672,993 
 5,983,560     FNMA      3.500   05/01/47   6,335,638 
 8,951,066     FNMA      3.500   07/01/47   9,721,986 
 28,624,589     FNMA      3.500   11/01/47   30,242,038 
 4,560,382     FNMA      4.500   11/01/47   4,924,694 
 6,717,587     FNMA      3.500   01/01/48   7,084,796 
 24,257,857     FNMA      4.000   01/01/48   25,892,391 
 3,678,232     FNMA      3.000   02/01/48   3,876,768 
 9,200,744     FNMA      4.000   04/01/48   9,763,263 
 693,008     FNMA      4.500   04/01/48   745,722 
 13,926,024     FNMA      3.500   06/01/48   14,643,522 
 26,186,922     FNMA      4.000   07/01/48   27,729,176 
 17,210,865     FNMA      4.500   07/01/48   18,492,150 
 10,186,516     FNMA      4.000   08/01/48   10,782,807 
 7,582,659     FNMA      4.000   10/01/48   8,026,669 
126

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$9,606,958     FNMA      4.500%  10/01/48  $10,319,118 
 43,952,816     FNMA      3.000   11/01/48   46,541,548 
 20,394,310     FNMA      4.000   11/01/48   21,588,724 
 6,919,354     FNMA      4.500   11/01/48   7,437,621 
 7,436,666     FNMA      4.000   12/01/48   7,871,059 
 6,482,581     FNMA      4.500   01/01/49   6,958,249 
 17,684,323     FNMA      4.500   02/01/49   18,984,911 
 20,822,877     FNMA      4.000   04/01/49   22,062,403 
 19,066,132     FNMA      5.000   04/01/49   20,814,108 
 46,471,542  h  FNMA      3.500   08/01/49   49,803,008 
 14,176,360     FNMA      4.000   08/01/49   15,013,212 
 17,414,440     FNMA      2.500   09/01/49   18,153,674 
 48,388,820     FNMA      3.000   09/01/49   50,982,929 
 46,457,119     FNMA      2.500   11/01/49   48,410,338 
 23,785,497     FNMA      2.500   12/01/49   24,777,622 
 24,284,190     FNMA      3.000   12/01/49   26,238,068 
 46,049,746     FNMA      3.000   12/01/49   48,518,457 
 46,769,161     FNMA      3.000   02/01/50   49,524,184 
 54,394,097     FNMA      3.500   02/01/50   57,178,903 
 47,448,524     FNMA      2.500   04/01/50   49,426,657 
 60,887,361     FNMA      3.000   05/01/50   64,151,512 
 5,022,084     FNMA      3.500   07/01/55   5,336,721 
 1,237     Government National Mortgage Association (GNMA)      4.500   01/20/24   1,322 
 12,750     GNMA      4.000   04/15/24   13,462 
 3,069     GNMA      4.500   07/15/24   3,212 
 48,393     GNMA      4.000   08/15/24   51,076 
 12,646     GNMA      4.500   08/15/24   13,233 
 34,486     GNMA      4.000   09/15/24   36,397 
 7,546     GNMA      4.500   01/15/25   7,897 
 65,162     GNMA      4.000   08/15/25   68,817 
 34,509     GNMA      3.500   03/15/26   36,272 
 34,495     GNMA      4.000   04/15/26   36,434 
 35,386     GNMA      4.000   06/20/26   37,513 
 56,947     GNMA      3.500   11/20/26   59,627 
 296,402     GNMA      3.000   12/15/26   311,711 
 964,332     GNMA      2.500   04/20/27   999,814 
 648,504     GNMA      2.500   09/20/27   677,492 
 390     GNMA      6.500   09/15/28   429 
 218     GNMA      6.500   09/15/28   240 
 1,115     GNMA      6.500   11/15/28   1,227 
 209     GNMA      7.500   11/15/28   209 
 961,391     GNMA      3.500   11/20/28   1,008,700 
 6,668     GNMA      8.500   10/15/30   6,977 
 2,605     GNMA      8.500   10/20/30   3,123 
 301     GNMA      8.500   12/15/30   375 
 393     GNMA      7.000   06/20/31   470 
 814     GNMA      7.000   07/15/31   834 
 1,173     GNMA      7.000   07/15/31   1,238 
 5,529,525     GNMA      3.000   08/20/32   5,803,949 
 152,117     GNMA      6.000   10/15/32   177,454 
 18,767     GNMA      5.500   12/20/32   21,637 
 44,830     GNMA      5.500   05/15/33   49,821 
 6,361     GNMA      5.000   07/15/33   7,267 
 23,597     GNMA      5.500   07/15/33   27,441 
127

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$5,501     GNMA      5.000%  07/20/33  $6,222 
 17,814     GNMA      5.000   08/15/33   19,500 
 24,672     GNMA      5.000   08/15/33   27,283 
 102,929     GNMA      5.500   09/15/33   120,144 
 74,886     GNMA      6.000   11/20/33   86,023 
 33,437     GNMA      5.500   05/20/34   38,504 
 48,044     GNMA      6.000   09/20/34   56,356 
 3,716     GNMA      5.000   10/20/34   4,206 
 99,039     GNMA      5.500   11/15/34   114,328 
 48,567     GNMA      6.500   01/15/35   57,527 
 25,513     GNMA      5.500   02/20/35   29,401 
 469,426     GNMA      5.000   03/20/35   531,194 
 141,238     GNMA      5.000   04/15/35   160,098 
 155,688     GNMA      5.500   05/20/35   179,387 
 5,613     GNMA      5.000   09/20/35   6,352 
 3,544     GNMA      5.000   11/15/35   3,879 
 3,901     GNMA      5.000   11/15/35   4,424 
 42,171     GNMA      5.500   02/20/36   48,550 
 4,740     GNMA      5.500   03/15/36   5,518 
 13,818     GNMA      5.500   05/20/36   15,907 
 4,474     GNMA      6.500   06/15/36   5,416 
 126,068     GNMA      5.500   06/20/36   145,189 
 7,758     GNMA      5.000   09/15/36   8,869 
 5,369     GNMA      6.000   09/15/36   6,326 
 12,550     GNMA      6.000   10/20/36   14,415 
 8,761     GNMA      5.000   12/15/36   10,011 
 3,056     GNMA      5.500   01/15/37   3,357 
 7,416     GNMA      6.000   01/20/37   8,515 
 167,048     GNMA      5.500   02/15/37   194,975 
 27,393     GNMA      6.000   02/20/37   31,455 
 202,576     GNMA      6.000   04/15/37   241,143 
 3,214     GNMA      6.500   04/15/37   3,537 
 68,503     GNMA      6.000   04/20/37   75,907 
 13,936     GNMA      6.000   06/15/37   15,785 
 14,922     GNMA      6.000   08/20/37   17,137 
 12,762     GNMA      6.500   08/20/37   14,641 
 57,016     GNMA      6.500   11/20/37   66,478 
 14,693     GNMA      6.000   12/15/37   16,769 
 3,107     GNMA      5.000   02/20/38   3,476 
 93,218     GNMA      5.000   04/15/38   106,497 
 3,939     GNMA      5.500   05/20/38   4,461 
 16,689     GNMA      5.500   06/15/38   19,489 
 40,089     GNMA      6.000   06/20/38   46,074 
 51,132     GNMA      5.500   07/15/38   59,644 
 315,229     GNMA      5.000   07/20/38   355,776 
 282,773     GNMA      5.500   07/20/38   325,829 
 7,409     GNMA      5.500   08/15/38   8,659 
 109,041     GNMA      6.000   08/15/38   130,029 
 45,616     GNMA      6.000   08/15/38   50,981 
 27,772     GNMA      6.000   08/20/38   31,903 
 110,436     GNMA      6.000   09/20/38   126,836 
 35,994     GNMA      5.000   10/15/38   39,383 
 10,645     GNMA      5.500   10/15/38   12,401 
 18,785     GNMA      6.500   10/20/38   20,627 
128

TIAA-CREF FUNDS – Bond Index Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE  DATE  VALUE 
$5,651     GNMA      6.500%  10/20/38  $6,621 
 1,440     GNMA      5.500   11/15/38   1,667 
 22,921     GNMA      6.500   11/20/38   26,757 
 120,532     GNMA      6.000   12/15/38   139,853 
 2,480     GNMA      6.500   12/15/38   2,843 
 21,200     GNMA      5.000   01/15/39   24,241 
 515,119     GNMA      4.500   01/20/39   565,550 
 56,270     GNMA      6.500   01/20/39   64,126 
 19,752     GNMA      5.000   02/15/39   22,377 
 7,513     GNMA      6.000   02/15/39   8,545 
 18,541     GNMA      4.500   03/15/39   20,669 
 180,179     GNMA      4.500   03/15/39   201,097 
 6,495     GNMA      4.500   03/20/39   7,128 
 112,530     GNMA      5.500   03/20/39   129,654 
 11,356     GNMA      4.500   04/15/39   12,676 
 175,325     GNMA      5.500   04/15/39   204,907 
 4,154     GNMA      5.000   04/20/39   4,690 
 22,080     GNMA      4.000   05/15/39   23,753 
 314,024     GNMA      4.500   05/15/39   350,147 
 153,643     GNMA      5.000   05/15/39   173,898 
 22,771     GNMA      4.000   05/20/39   25,105 
 58,828     GNMA      4.500   05/20/39   64,574 
 1,232,711     GNMA      5.000   05/20/39   1,391,704 
 8,892     GNMA      4.500   06/15/39   9,919 
 857,632     GNMA      4.500   06/15/39   956,289 
 1,104,358     GNMA      5.000   06/15/39   1,264,345 
 878,781     GNMA      5.000   06/15/39   1,006,127 
 19,661     GNMA      5.000   06/15/39   22,467 
 9,093     GNMA      5.000   06/15/39   10,275 
 11,014     GNMA      5.000   06/15/39   12,586 
 12,945     GNMA      4.000   06/20/39   14,244 
 7,938     GNMA      5.000   06/20/39   8,959 
 977,977     GNMA      4.000   07/15/39   1,048,460 
 12,376     GNMA      4.500   07/15/39   13,800 
 26,246     GNMA      4.500   07/15/39   29,265 
 1,180,146     GNMA      4.500   07/15/39   1,329,846 
 11,941     GNMA      5.000   07/15/39   13,643 
 131,290     GNMA      4.500   07/20/39   144,108 
 113,422     GNMA      5.000   07/20/39   128,034 
 12,128     GNMA      5.500   07/20/39   13,967 
 59,699     GNMA      4.000   08/15/39   64,180 
 131,017     GNMA      5.000   08/15/39   149,592 
 7,756     GNMA      5.500   08/15/39   8,954 
 56,949     GNMA      6.000   08/15/39   63,468 
 40,690     GNMA      4.000   08/20/39   44,880 
 29,494     GNMA      5.000   08/20/39   33,282 
 5,512     GNMA      5.000   09/15/39   6,031 
 41,236     GNMA      5.000   09/20/39   46,553 
 9,682     GNMA      4.500   10/15/39   10,798 
 5,452     GNMA      5.000   10/15/39   6,227 
 12,873     GNMA      4.500   10/20/39   14,132 
 26,360     GNMA      4.500   11/15/39   29,703 
 19,248     GNMA      4.500   11/20/39   21,129 
 22,440     GNMA      5.000   11/20/39   25,326 
129

TIAA-CREF FUNDS – Bond Index Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE  DATE  VALUE 
$42,749     GNMA      4.500%  12/15/39  $46,941 
 661,370     GNMA      4.500   12/15/39   737,295 
 19,232     GNMA      4.500   12/20/39   21,115 
 695,140     GNMA      5.000   12/20/39   784,641 
 641,492     GNMA      4.500   01/20/40   704,063 
 9,541     GNMA      5.500   01/20/40   10,914 
 364,883     GNMA      5.500   02/15/40   425,838 
 53,129     GNMA      4.000   03/15/40   57,345 
 10,836     GNMA      5.000   03/15/40   12,369 
 3,107     GNMA      4.500   04/15/40   3,441 
 102,924     GNMA      5.000   04/15/40   116,465 
 25,456     GNMA      4.500   04/20/40   27,927 
 4,131     GNMA      4.500   05/15/40   4,592 
 118,070     GNMA      5.000   05/15/40   133,388 
 206,943  i  GNMA  DGS1 + 1.500%   3.875   05/20/40   216,504 
 5,534     GNMA      4.500   05/20/40   6,076 
 2,228,787     GNMA      4.500   06/15/40   2,486,595 
 6,359     GNMA      4.500   06/15/40   7,055 
 9,523     GNMA      4.500   06/15/40   10,584 
 126,107     GNMA      5.000   06/20/40   142,318 
 266,609     GNMA      4.500   07/15/40   296,843 
 68,054     GNMA      4.500   07/15/40   75,808 
 922,818     GNMA      4.500   07/20/40   1,012,984 
 27,048     GNMA      5.000   07/20/40   30,524 
 180,504     GNMA      4.000   08/15/40   196,186 
 862,466     GNMA      4.000   08/15/40   937,903 
 80,116     GNMA      4.500   08/15/40   90,183 
 68,857     GNMA      4.500   08/20/40   75,577 
 59,074     GNMA      4.500   09/20/40   64,844 
 18,535     GNMA      5.500   09/20/40   21,370 
 21,243     GNMA      6.500   09/20/40   25,173 
 26,988     GNMA      4.000   10/15/40   29,656 
 52,801     GNMA      6.000   10/20/40   60,621 
 334,054     GNMA      4.000   11/15/40   363,530 
 796,824     GNMA      4.000   11/20/40   878,332 
 195,629     GNMA      3.500   12/15/40   208,973 
 288,381     GNMA      5.500   12/20/40   332,312 
 938,872     GNMA      4.000   01/15/41   1,021,531 
 2,127,487     GNMA      4.000   01/20/41   2,345,398 
 171,829     GNMA      4.000   02/15/41   186,837 
 558,525     GNMA      4.500   02/20/41   623,961 
 304,112     GNMA      4.500   03/15/41   338,989 
 662,492     GNMA      4.500   04/20/41   727,205 
 141,086     GNMA      5.000   04/20/41   158,993 
 51,105  i  GNMA  DGS1 + 1.500%   3.875   06/20/41   53,278 
 144,205     GNMA      4.000   07/15/41   156,647 
 272,244     GNMA      4.000   07/20/41   300,080 
 886,579     GNMA      4.500   07/20/41   990,584 
 753,475     GNMA      5.000   07/20/41   850,393 
 194,965     GNMA      4.500   08/15/41   217,129 
 343,545     GNMA      5.000   08/20/41   387,289 
 511,358     GNMA      4.000   09/15/41   556,238 
 29,190  i  GNMA  DGS1 + 1.500%   3.250   09/20/41   30,471 
 1,236,241     GNMA      4.000   09/20/41   1,362,701 
130

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$73,029     GNMA      4.000%  10/15/41  $79,326 
 56,127  i  GNMA  DGS1 + 1.500%   3.125   10/20/41   58,560 
 35,069  i  GNMA  DGS1 + 1.500%   3.125   10/20/41   36,614 
 1,592,496     GNMA      4.000   10/20/41   1,755,554 
 199,869     GNMA      5.500   10/20/41   230,376 
 504,132     GNMA      3.500   11/15/41   538,373 
 1,094,081     GNMA      4.000   11/15/41   1,188,795 
 2,062,579     GNMA      4.500   11/20/41   2,264,489 
 843,372     GNMA      5.000   11/20/41   950,646 
 190,208     GNMA      6.000   11/20/41   222,407 
 1,123,405     GNMA      3.500   01/20/42   1,221,435 
 198,656  i  GNMA  DGS1 + 1.500%   3.000   02/20/42   207,175 
 545,201     GNMA      3.500   03/20/42   592,776 
 843,932     GNMA      4.500   03/20/42   926,283 
 989,464     GNMA      3.500   04/15/42   1,056,703 
 1,742,222     GNMA      3.500   05/20/42   1,884,992 
 5,199,372     GNMA      3.500   05/20/42   5,653,105 
 1,127,760     GNMA      4.000   05/20/42   1,242,995 
 2,123,061     GNMA      3.500   07/15/42   2,268,838 
 202,912  i  GNMA  DGS1 + 1.500%   3.250   07/20/42   211,093 
 1,216,206     GNMA      3.500   07/20/42   1,322,343 
 1,541,364     GNMA      3.000   08/20/42   1,648,936 
 1,816,053     GNMA      3.500   08/20/42   1,978,314 
 5,111,537     GNMA      3.500   08/20/42   5,557,622 
 866,196     GNMA      6.000   08/20/42   994,420 
 2,010,427     GNMA      3.500   10/20/42   2,185,885 
 2,241,186     GNMA      3.000   11/20/42   2,396,925 
 1,961,882     GNMA      3.000   12/20/42   2,107,973 
 2,637,552     GNMA      3.000   12/20/42   2,821,350 
 1,560,933     GNMA      3.000   01/15/43   1,656,704 
 4,102,989     GNMA      3.000   01/15/43   4,369,538 
 2,001,141     GNMA      3.000   01/20/43   2,140,314 
 3,416,447     GNMA      3.000   02/20/43   3,654,243 
 2,198,392     GNMA      3.000   02/20/43   2,366,249 
 618,153     GNMA      3.000   04/15/43   656,081 
 583,929     GNMA      5.000   04/20/43   658,056 
 1,366,900     GNMA      3.000   05/20/43   1,461,966 
 2,105,812     GNMA      3.000   06/20/43   2,252,187 
 4,276,527     GNMA      3.500   06/20/43   4,627,424 
 4,600,144     GNMA      3.000   07/20/43   4,920,290 
 2,110,309     GNMA      3.500   07/20/43   2,293,744 
 9,632,053     GNMA      4.500   08/20/43   10,488,304 
 3,028,862     GNMA      3.500   09/20/43   3,285,261 
 1,052,386     GNMA      4.000   09/20/43   1,154,883 
 12,771,830     GNMA      3.500   10/20/43   13,821,524 
 6,429,784     GNMA      4.000   10/20/43   7,049,151 
 554,529     GNMA      3.500   11/20/43   599,530 
 1,134,420     GNMA      4.000   11/20/43   1,242,575 
 1,007,360     GNMA      4.500   12/20/43   1,103,694 
 1,060,217     GNMA      4.500   01/20/44   1,161,743 
 1,423,884     GNMA      3.500   02/20/44   1,539,234 
 1,925,174     GNMA      4.000   02/20/44   2,104,920 
 1,936,364     GNMA      4.000   05/20/44   2,111,571 
 2,014,427     GNMA      4.000   06/20/44   2,196,736 
131

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$5,722,611     GNMA      3.500%  07/20/44  $6,135,338 
 17,568,802     GNMA      3.500   10/20/44   18,889,921 
 1,523,146     GNMA      4.500   10/20/44   1,669,114 
 4,156,234     GNMA      3.500   11/20/44   4,452,495 
 5,564,753     GNMA      3.000   12/20/44   5,949,492 
 8,268,851     GNMA      4.000   12/20/44   9,003,177 
 13,245,030     GNMA      3.500   02/20/45   14,181,795 
 6,344,521     GNMA      4.000   03/20/45   6,909,694 
 5,874,015     GNMA      3.000   04/20/45   6,250,425 
 12,474,688     GNMA      3.000   06/20/45   13,302,530 
 27,209,401     GNMA      3.000   07/20/45   29,048,854 
 9,026,998     GNMA      4.000   10/20/45   9,794,136 
 15,050,326     GNMA      4.000   11/20/45   16,293,902 
 6,886,438     GNMA      3.000   12/20/45   7,333,807 
 6,130,199     GNMA      3.500   12/20/45   6,564,244 
 35,672,512  h  GNMA      3.000   03/20/46   37,906,485 
 13,146,988  h  GNMA      3.000   04/20/46   13,989,547 
 6,974,750     GNMA      4.000   04/20/46   7,538,778 
 34,349,011     GNMA      3.000   05/20/46   36,481,243 
 20,436,007     GNMA      3.500   05/20/46   21,895,136 
 7,851,819     GNMA      3.000   06/20/46   8,348,417 
 4,701,549     GNMA      3.500   06/20/46   5,030,754 
 5,963,069  h  GNMA      0.030   07/20/46   6,342,685 
 9,869,358     GNMA      3.500   08/20/46   10,584,135 
 5,719,410     GNMA      3.000   09/20/46   6,079,979 
 22,617,620     GNMA      3.500   09/20/46   24,231,925 
 11,047,796     GNMA      3.000   10/20/46   11,751,047 
 5,932,025     GNMA      3.000   12/20/46   6,301,470 
 6,023,223     GNMA      3.000   01/20/47   6,399,913 
 4,384,264     GNMA      4.000   01/20/47   4,729,764 
 11,094,193     GNMA      4.000   04/20/47   11,950,649 
 11,171,409     GNMA      3.500   05/20/47   11,914,895 
 5,834,227     GNMA      3.500   06/20/47   6,218,150 
 6,921,045     GNMA      3.000   07/20/47   7,345,318 
 13,240,875     GNMA      4.500   07/20/47   14,424,682 
 13,099,525     GNMA      3.000   08/20/47   13,906,471 
 15,420,166     GNMA      3.500   08/20/47   16,417,310 
 25,011,110     GNMA      3.000   09/20/47   26,530,110 
 35,631,938     GNMA      4.000   09/20/47   38,195,598 
 25,095,984     GNMA      3.500   11/20/47   26,698,664 
 18,795,860     GNMA      3.500   12/20/47   19,974,463 
 12,477,141     GNMA      3.500   01/20/48   13,263,227 
 18,073,281     GNMA      4.000   05/20/48   19,328,394 
 13,319,130     GNMA      4.000   06/20/48   14,240,596 
 26,246,096     GNMA      3.500   07/20/48   27,895,795 
 13,449,347     GNMA      4.000   08/20/48   14,335,567 
 10,442,628     GNMA      5.000   08/20/48   11,377,279 
 9,155,695     GNMA      4.500   09/20/48   9,860,057 
 8,434,912     GNMA      5.000   10/20/48   9,224,941 
 6,623,011     GNMA      4.500   11/20/48   7,078,514 
 15,115,537     GNMA      3.500   04/20/49   15,965,604 
 52,158,006     GNMA      4.500   04/20/49   55,716,030 
 17,418,055     GNMA      4.000   05/20/49   18,467,966 
 10,040,722     GNMA      3.500   06/20/49   10,605,391 
132

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$17,573,840     GNMA      3.000%  09/20/49  $18,641,152 
 25,008,390     GNMA      3.500   09/20/49   26,414,811 
 19,438,974     GNMA      2.500   10/20/49   20,466,600 
 19,471,878     GNMA      3.000   11/20/49   20,654,464 
 19,255,915     GNMA      3.500   11/20/49   20,338,829 
 69,868,066     GNMA      3.000   04/20/50   74,111,366 
 37,561,897  h  GNMA      3.500   04/20/50   39,875,781 
       TOTAL MORTGAGE BACKED              4,435,132,532 
                        
MUNICIPAL BONDS - 0.9%                
 200,000     Alabama Economic Settlement Authority      4.263   09/15/32   239,010 
 300,000     American Municipal Power      7.834   02/15/41   488,250 
 500,000     American Municipal Power      6.270   02/15/50   700,300 
 1,165,000     American Municipal Power      8.084   02/15/50   2,102,883 
 750,000     American University      3.672   04/01/49   825,016 
 750,000     Bay Area Toll Authority      2.574   04/01/31   806,857 
 1,000,000     Bay Area Toll Authority      6.918   04/01/40   1,579,270 
 2,000,000     Bay Area Toll Authority      6.263   04/01/49   3,488,780 
 200,000     California Institute of Technology      4.321   08/01/45   257,092 
 750,000     California Institute of Technology      3.650   09/01/19   827,858 
 200,000     California State University      3.899   11/01/47   246,404 
 750,000     California State University      2.975   11/01/51   803,332 
 720,000     Central Puget Sound Regional Transit Authority      5.491   11/01/39   1,024,128 
 460,000     Chicago Metropolitan Water Reclamation District-Greater Chicago      5.720   12/01/38   664,677 
 2,250,000     Chicago O’Hare International Airport      6.395   01/01/40   3,355,537 
 200,000     Chicago O’Hare International Airport      4.472   01/01/49   259,478 
 200,000     Chicago O’Hare International Airport      4.572   01/01/54   267,086 
 690,000     City of Houston TX      3.961   03/01/47   837,805 
 1,000,000     City of Riverside CA      3.857   06/01/45   1,046,980 
 310,000     City of San Francisco CA Public Utilities Commission Water Revenue      3.303   11/01/39   330,190 
 750,000     City Public Service Board of San Antonio TX      5.808   02/01/41   1,123,793 
 150,000     Colorado Bridge Enterprise      6.078   12/01/40   222,135 
 200,000     Commonwealth Financing Authority      4.014   06/01/33   239,324 
 100,000     Commonwealth Financing Authority      3.864   06/01/38   117,725 
 100,000     Commonwealth Financing Authority      4.144   06/01/38   120,283 
 645,000     Commonwealth Financing Authority      3.807   06/01/41   757,985 
 180,000     Commonwealth of Massachusetts      4.200   12/01/21   184,585 
 500,000     Commonwealth of Massachusetts      5.731   06/01/40   713,775 
 1,000,000  h  Commonwealth of Massachusetts      2.514   07/01/41   1,003,740 
 100,000     Commonwealth of Massachusetts      3.277   06/01/46   115,635 
 750,000     Commonwealth of Massachusetts      2.900   09/01/49   817,785 
 195,000     Commonwealth of Pennsylvania      5.850   07/15/30   195,345 
 130,000     County of Broward FL Airport System Revenue      3.477   10/01/43   129,775 
 200,000     County of Clark NV      6.820   07/01/45   312,072 
 135,000     County of Miami-Dade FL Aviation Revenue      4.280   10/01/41   144,274 
 200,000     County of Miami-Dade FL Water & Sewer System Revenue      3.490   10/01/42   211,972 
 1,000,000     County of Riverside CA      3.818   02/15/38   1,118,040 
 750,000     Dallas Area Rapid Transit      5.022   12/01/48   1,134,165 
 250,000     Dallas/Fort Worth International Airport      2.994   11/01/38   259,190 
 100,000     Dallas/Fort Worth International Airport      3.144   11/01/45   101,430 
 350,000     Denver City & County School District No      4.242   12/15/37   421,921 
133

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$200,000     District of Columbia      5.591%  12/01/34  $265,526 
 470,000     District of Columbia Water & Sewer Authority      3.207   10/01/48   484,208 
 445,000     District of Columbia Water & Sewer Authority      4.814   10/01/14   638,143 
 500,000     Duke University      2.682   10/01/44   524,746 
 115,000     Duke University      3.299   10/01/46   129,104 
 500,000     Duke University      2.757   10/01/50   526,716 
 500,000     Duke University      2.832   10/01/55   525,724 
 10,000     Energy Northwest      2.814   07/01/24   10,468 
 500,000     Florida Hurricane Catastrophe Fund Finance Corp      2.995   07/01/20   500,000 
 1,200,000     Florida State Board of Administration Finance Corp      2.638   07/01/21   1,224,756 
 360,000     Foothill-Eastern Transportation Corridor Agency      4.094   01/15/49   369,648 
 300,000     Foothill-Eastern Transportation Corridor Agency      3.924   01/15/53   314,160 
 300,000     George Washington University      4.300   09/15/44   358,325 
 200,000     George Washington University      4.868   09/15/45   262,235 
 375,000     George Washington University      4.126   09/15/48   457,965 
 100,000     Georgetown University      4.315   04/01/49   125,467 
 500,000     Georgetown University      2.943   04/01/50   487,639 
 300,000     Georgetown University      5.215   10/01/18   412,307 
 970,000     Grand Parkway Transportation Corp      3.236   10/01/52   1,010,730 
 175,000     Great Lakes Water Authority Sewage Disposal System Revenue      3.056   07/01/39   186,679 
 330,000     Great Lakes Water Authority Water Supply System Revenue      3.473   07/01/41   344,804 
 200,000     Health & Educational Facilities Authority of the State of Missouri      3.651   01/15/46   241,138 
 200,000     Health & Educational Facilities Authority of the State of Missouri      3.086   09/15/51   219,698 
 200,000     Health & Educational Facilities Authority of the State of Missouri      3.652   08/15/57   247,224 
 500,000     Illinois State Toll Highway Authority      6.184   01/01/34   716,595 
 770,000     JobsOhio Beverage System      2.833   01/01/38   819,049 
 240,000     Los Angeles Community College District      6.750   08/01/49   423,977 
 350,000     Los Angeles Department of Water & Power Power System Revenue      5.716   07/01/39   529,361 
 1,500,000     Los Angeles Department of Water & Power Power System Revenue      6.574   07/01/45   2,581,920 
 1,630,000     Los Angeles Unified School District      5.750   07/01/34   2,253,785 
 100,000     Massachusetts School Building Authority      5.715   08/15/39   138,543 
 500,000     Massachusetts School Building Authority      3.395   10/15/40   509,975 
 100,000     Metropolitan Government of Nashville & Davidson County Convention Center Authority      6.731   07/01/43   151,913 
 200,000     Metropolitan Government of Nashville & Davidson County Health & Educational Facilities      4.053   07/01/26   218,100 
 940,000     Metropolitan Transportation Authority      6.648   11/15/39   1,187,540 
 1,150,000     Metropolitan Transportation Authority      7.336   11/15/39   1,859,734 
 335,000     Metropolitan Transportation Authority      5.175   11/15/49   390,784 
 350,000     Michigan Finance Authority      3.384   12/01/40   385,969 
 235,000     Michigan State University      4.496   08/15/48   265,846 
 500,000     Missouri Highway & Transportation Commission      5.445   05/01/33   657,790 
 247,000     Municipal Electric Authority of Georgia      6.637   04/01/57   359,207 
 491,000     Municipal Electric Authority of Georgia      6.655   04/01/57   719,590 
 947,000     New Jersey Economic Development Authority      7.425   02/15/29   1,144,355 
 1,335,000     New Jersey State Turnpike Authority      7.414   01/01/40   2,262,384 
 1,000,000     New Jersey State Turnpike Authority      7.102   01/01/41   1,652,190 
134

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$800,000     New Jersey Transportation Trust Fund Authority      5.754%  12/15/28  $871,480 
 360,000     New Jersey Transportation Trust Fund Authority      6.104   12/15/28   368,363 
 500,000     New Jersey Transportation Trust Fund Authority      4.081   06/15/39   469,630 
 195,000     New Jersey Transportation Trust Fund Authority      4.131   06/15/42   181,623 
 2,385,000     New York City Municipal Water Finance Authority      5.440   06/15/43   3,592,168 
 1,000,000     New York City Transitional Finance Authority Future Tax Secured Revenue      5.767   08/01/36   1,319,650 
 130,000     New York State Dormitory Authority      5.628   03/15/39   168,641 
 545,000     New York State Dormitory Authority      5.600   03/15/40   776,532 
 500,000     New York State Dormitory Authority      3.142   07/01/43   515,320 
 200,000     New York State Dormitory Authority      4.946   08/01/48   222,572 
 500,000     New York State Thruway Authority      2.900   01/01/35   536,820 
 110,000     New York State Thruway Authority      3.500   01/01/42   112,244 
 1,000,000     New York State Urban Development Corp      3.900   03/15/33   1,143,810 
 1,000,000     North Texas Tollway Authority      6.718   01/01/49   1,764,120 
 675,000     Ohio State Water Development Authority      4.879   12/01/34   798,673 
 605,000     Ohio Turnpike & Infrastructure Commission      3.216   02/15/48   626,411 
 750,000     Oregon School Boards Association      4.759   06/30/28   846,263 
 250,000     Oregon School Boards Association      5.680   06/30/28   306,923 
 500,000     Pennsylvania State University      2.790   09/01/43   514,835 
 205,000     Pennsylvania State University      2.840   09/01/50   213,674 
 300,000     Permanent University Fund-Texas A&M University System      3.660   07/01/47   325,341 
 200,000     Permanent University Fund-University of Texas System      3.376   07/01/47   234,906 
 1,215,000     Port Authority of New York & New Jersey      6.040   12/01/29   1,645,851 
 500,000     Port Authority of New York & New Jersey      5.647   11/01/40   713,610 
 300,000     Port Authority of New York & New Jersey      4.823   06/01/45   337,239 
 1,000,000     Port Authority of New York & New Jersey      5.310   08/01/46   1,107,560 
 200,000     Port Authority of New York & New Jersey      4.031   09/01/48   241,540 
 400,000     Port Authority of New York & New Jersey      4.229   10/15/57   510,488 
 2,200,000     Port Authority of New York & New Jersey      4.810   10/15/65   3,017,300 
 250,000     Port Authority of New York & New Jersey      3.287   08/01/69   264,643 
 1,000,000     Port of Morrow OR      2.543   09/01/40   1,000,370 
 220,000     Princeton University      5.700   03/01/39   343,015 
 750,000     Regents of the University of California Medical Center Pooled Revenue      3.006   05/15/50   759,413 
 750,000     Regents of the University of California Medical Center Pooled Revenue      3.256   05/15/60   779,663 
 750,000     Regents of the University of California Medical Center Pooled Revenue      3.706   05/15/20   777,323 
 500,000     Rutgers The State University of New Jersey      3.270   05/01/43   526,000 
 500,000     Rutgers The State University of New Jersey      3.915   05/01/19   608,240 
 200,000     Sales Tax Securitization Corp      4.637   01/01/40   228,454 
 200,000     Sales Tax Securitization Corp      3.587   01/01/43   205,800 
 1,000,000     Sales Tax Securitization Corp      3.820   01/01/48   1,075,060 
 200,000     Sales Tax Securitization Corp      4.787   01/01/48   246,650 
 100,000     Salt River Project Agricultural Improvement & Power District      4.839   01/01/41   138,089 
 435,000     San Diego County Regional Transportation Commission      3.248   04/01/48   463,158 
 500,000     San Diego County Water Authority      6.138   05/01/49   775,375 
 100,000     San Jose Redevelopment Agency      3.375   08/01/34   108,363 
 800,000     Santa Clara Valley Transportation Authority      5.876   04/01/32   1,012,272 
135

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$270,000     South Carolina Public Service Authority      2.388%  12/01/23  $276,272 
 300,000     State of California      2.800   04/01/21   305,019 
 645,000     State of California      5.700   11/01/21   688,963 
 200,000     State of California      3.375   04/01/25   223,948 
 200,000     State of California      3.500   04/01/28   232,490 
 300,000     State of California      4.500   04/01/33   354,441 
 250,000     State of California      7.500   04/01/34   407,685 
 225,000     State of California      4.600   04/01/38   262,928 
 1,285,000     State of California      7.550   04/01/39   2,288,187 
 3,400,000     State of California      7.300   10/01/39   5,684,256 
 2,740,000     State of California      7.625   03/01/40   4,836,621 
 1,500,000     State of California      7.600   11/01/40   2,753,655 
 200,000     State of California Department of Water Resources Power Supply Revenue      2.000   05/01/22   205,156 
 620,000     State of Connecticut      5.850   03/15/32   839,691 
 5,950,000     State of Illinois      5.100   06/01/33   6,035,977 
 1,295,000     State of Illinois      6.725   04/01/35   1,424,099 
 500,000     State of Kansas Department of Transportation      4.596   09/01/35   638,855 
 202,856     State of Oregon      5.762   06/01/23   223,354 
 85,000     State of Oregon      5.892   06/01/27   106,259 
 100,000     State of Oregon Department of Transportation      5.834   11/15/34   145,534 
 600,000     State of Texas      4.631   04/01/33   755,808 
 50,000     State of Texas      5.517   04/01/39   72,621 
 1,000,000     State of Texas      4.681   04/01/40   1,320,890 
 500,000     State of Utah      3.539   07/01/25   535,335 
 200,000     State of Washington      5.090   08/01/33   263,570 
 200,000     State of Wisconsin      3.154   05/01/27   222,144 
 200,000     State of Wisconsin      3.954   05/01/36   218,594 
 604,000     State Public School Building Authority      5.000   09/15/27   721,701 
 100,000     Sumter Landing Community Development District      4.172   10/01/47   112,035 
 430,000     Texas Private Activity Bond Surface Transportation Corp      3.922   12/31/49   442,651 
 1,000,000  h  Texas Transportation Commission      2.562   04/01/42   1,015,130 
 575,000     Texas Transportation Commission State Highway Fund      5.028   04/01/26   669,749 
 1,190,000     Texas Transportation Commission State Highway Fund      5.178   04/01/30   1,524,688 
 560,000  h  Texas Transportation Commission State Highway Fund      4.000   10/01/33   694,753 
 100,000     The Ohio State University      4.910   06/01/40   142,500 
 500,000     The Ohio State University      3.798   12/01/46   627,730 
 200,000     The Ohio State University      4.048   12/01/56   265,516 
 100,000     Trustees of the University of Pennsylvania      4.674   09/01/12   154,462 
 500,000     Trustees of the University of Pennsylvania      3.610   02/15/19   580,259 
 200,000     University of California      3.063   07/01/25   219,280 
 500,000     University of California      3.349   07/01/29   572,650 
 200,000     University of California      5.770   05/15/43   297,914 
 200,000     University of California      3.931   05/15/45   238,588 
 200,000     University of California      4.131   05/15/45   242,924 
 1,500,000     University of California      5.946   05/15/45   2,207,370 
 860,000     University of California      4.858   05/15/12   1,192,003 
 200,000     University of California      4.767   05/15/15   270,296 
 500,000     University of Chicago      2.761   04/01/45   519,565 
 300,000     University of Chicago      4.003   10/01/53   380,551 
136

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$750,000     University of Michigan      2.437%  04/01/40  $773,790 
 500,000     University of Michigan      2.562   04/01/50   517,820 
 500,000     University of Nebraska Facilities Corp      3.037   10/01/49   557,535 
 200,000     University of Notre Dame du Lac      3.438   02/15/45   235,613 
 200,000     University of Notre Dame du Lac      3.394   02/15/48   236,225 
 300,000     University of Southern California      3.028   10/01/39   326,683 
 200,000     University of Southern California      3.841   10/01/47   252,825 
 500,000     University of Southern California      2.805   10/01/50   535,572 
 200,000     University of Southern California      5.250   10/01/11   315,909 
 1,000,000     University of Southern California      3.226   10/01/20   1,039,125 
 200,000     University of Texas System      3.852   08/15/46   254,316 
 700,000     University of Texas System      4.794   08/15/46   945,749 
 750,000     University of Texas System      2.439   08/15/49   738,420 
 500,000     University of Virginia      3.227   09/01/19   530,530 
 150,000     Virginia Commonwealth Transportation Board      5.350   05/15/35   190,962 
 200,000     William Marsh Rice University      3.574   05/15/45   242,580 
 200,000     William Marsh Rice University      3.774   05/15/55   244,862 
       TOTAL MUNICIPAL BONDS              143,840,557 
                        
U.S. TREASURY SECURITIES - 37.1%
 21,250,000     United States Treasury Bond      4.500   02/15/36   32,521,631 
 22,400,000     United States Treasury Bond      5.000   05/15/37   36,728,125 
 179,483,000     United States Treasury Bond      3.500   02/15/39   253,870,289 
 2,000,000     United States Treasury Bond      4.500   08/15/39   3,184,609 
 44,850,000     United States Treasury Bond      4.375   11/15/39   70,507,353 
 17,585,000     United States Treasury Bond      3.875   08/15/40   26,201,650 
 11,185,000     United States Treasury Bond      4.250   11/15/40   17,472,630 
 26,350,000     United States Treasury Bond      4.375   05/15/41   41,897,529 
 10,000,000     United States Treasury Bond      3.750   08/15/41   14,730,469 
 48,300,000     United States Treasury Bond      3.125   11/15/41   65,401,219 
 18,550,000     United States Treasury Bond      3.125   02/15/42   25,172,205 
 22,000,000     United States Treasury Bond      3.000   05/15/42   29,284,922 
 20,000,000     United States Treasury Bond      2.750   08/15/42   25,635,156 
 10,250,000     United States Treasury Bond      2.875   05/15/43   13,387,461 
 16,000,000     United States Treasury Bond      2.500   02/15/45   19,729,375 
 22,000,000     United States Treasury Bond      3.000   05/15/45   29,528,984 
 16,000,000     United States Treasury Bond      2.875   08/15/45   21,083,125 
 27,000,000     United States Treasury Bond      2.500   05/15/46   33,471,562 
 13,300,000     United States Treasury Bond      2.875   11/15/46   17,678,090 
 28,000,000     United States Treasury Bond      3.000   02/15/47   38,127,031 
 30,000,000     United States Treasury Bond      2.750   08/15/47   39,179,297 
 45,000,000     United States Treasury Bond      2.750   11/15/47   58,846,289 
 38,500,000     United States Treasury Bond      3.000   02/15/48   52,683,340 
 48,500,000     United States Treasury Bond      3.125   05/15/48   67,935,996 
 35,500,000     United States Treasury Bond      3.000   08/15/48   48,793,086 
 35,000,000     United States Treasury Bond      3.375   11/15/48   51,402,148 
 82,500,000     United States Treasury Bond      3.000   02/15/49   113,833,887 
 10,500,000     United States Treasury Bond      2.875   05/15/49   14,197,148 
 7,500,000     United States Treasury Bond      2.250   08/15/49   9,015,234 
 8,615,000     United States Treasury Bond      2.375   11/15/49   10,635,150 
 30,150,000     United States Treasury Note      2.375   04/15/21   30,675,270 
 600,000     United States Treasury Note      2.250   04/30/21   610,336 
 46,500,000     United States Treasury Note      2.625   05/15/21   47,495,391 
 25,000     United States Treasury Note      1.375   05/31/21   25,271 
137

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$25,000,000     United States Treasury Note      1.125%  06/30/21  $25,242,187 
 39,000,000     United States Treasury Note      1.125   07/31/21   39,399,141 
 27,610,000     United States Treasury Note      2.125   08/15/21   28,209,655 
 25,000,000     United States Treasury Note      1.125   08/31/21   25,274,414 
 43,000,000     United States Treasury Note      2.750   09/15/21   44,333,672 
 10,000,000     United States Treasury Note      1.500   10/31/21   10,176,953 
 20,000,000     United States Treasury Note      2.875   11/15/21   20,739,844 
 13,379,100     United States Treasury Note      8.000   11/15/21   14,815,785 
 32,000,000     United States Treasury Note      1.750   11/30/21   32,716,250 
 26,700,000     United States Treasury Note      2.000   12/31/21   27,431,121 
 24,300,000     United States Treasury Note      1.875   01/31/22   24,952,113 
 10,000,000     United States Treasury Note      2.375   03/15/22   10,375,000 
 51,000,000     United States Treasury Note      1.875   03/31/22   52,516,055 
 35,000,000     United States Treasury Note      2.250   04/15/22   36,300,195 
 92,000,000     United States Treasury Note      1.875   04/30/22   94,864,219 
 25,000,000     United States Treasury Note      2.125   05/15/22   25,913,086 
 30,000,000     United States Treasury Note      1.750   06/30/22   30,945,703 
 63,000,000     United States Treasury Note      1.875   07/31/22   65,236,992 
 55,000,000     United States Treasury Note      1.625   08/31/22   56,729,492 
 35,000,000     United States Treasury Note      1.875   09/30/22   36,341,211 
 5,000,000     United States Treasury Note      1.375   10/15/22   5,137,305 
 65,000,000     United States Treasury Note      2.000   10/31/22   67,765,039 
 31,750,000     United States Treasury Note      1.625   11/15/22   32,842,646 
 108,000,000     United States Treasury Note      2.000   11/30/22   112,750,313 
 15,000,000     United States Treasury Note      1.625   12/15/22   15,535,547 
 60,000,000     United States Treasury Note      2.625   02/28/23   63,904,687 
 80,000,000     United States Treasury Note      2.500   03/31/23   85,093,750 
 15,000,000     United States Treasury Note      0.250   04/15/23   15,032,813 
 30,000,000     United States Treasury Note      2.750   04/30/23   32,176,172 
 80,000,000     United States Treasury Note      2.750   05/31/23   85,975,000 
 91,500,000     United States Treasury Note      2.625   06/30/23   98,183,790 
 80,000,000     United States Treasury Note      2.750   07/31/23   86,306,250 
 116,000,000     United States Treasury Note      2.750   08/31/23   125,379,688 
 35,000,000     United States Treasury Note      2.875   09/30/23   38,040,625 
 13,000,000     United States Treasury Note      2.750   11/15/23   14,115,156 
 10,000,000     United States Treasury Note      2.125   11/30/23   10,656,641 
 65,000,000     United States Treasury Note      2.875   11/30/23   70,910,938 
 10,000,000     United States Treasury Note      2.250   12/31/23   10,716,016 
 55,000,000     United States Treasury Note      2.625   12/31/23   59,651,367 
 129,300,000     United States Treasury Note      2.500   01/31/24   139,881,387 
 70,000,000     United States Treasury Note      2.375   02/29/24   75,539,843 
 325,000,000     United States Treasury Note      2.125   03/31/24   348,219,726 
 174,000,000     United States Treasury Note      2.250   04/30/24   187,518,984 
 111,500,000     United States Treasury Note      2.000   05/31/24   119,239,668 
 152,000,000     United States Treasury Note      1.750   06/30/24   161,238,750 
 212,000,000     United States Treasury Note      1.750   07/31/24   225,117,500 
 22,000,000     United States Treasury Note      1.250   08/31/24   22,923,828 
 81,000,000     United States Treasury Note      1.500   09/30/24   85,315,781 
 90,500,000     United States Treasury Note      1.500   10/31/24   95,396,191 
 40,005,000     United States Treasury Note      2.250   11/15/24   43,491,373 
 61,900,000     United States Treasury Note      1.500   11/30/24   65,302,082 
 75,000,000     United States Treasury Note      1.750   12/31/24   80,018,554 
138

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$40,000,000     United States Treasury Note      2.250%  12/31/24  $43,571,875 
 13,000,000     United States Treasury Note      1.375   01/31/25   13,658,633 
 40,000,000     United States Treasury Note      1.250   02/28/25   41,603,125 
 73,000,000     United States Treasury Note      0.500   03/31/25   73,775,625 
 8,000,000     United States Treasury Note      2.625   03/31/25   8,885,938 
 50,000,000     United States Treasury Note      0.375   04/30/25   50,226,563 
 110,000,000     United States Treasury Note      0.250   06/30/25   109,785,157 
 20,000,000     United States Treasury Note      2.750   08/31/25   22,495,312 
 30,000,000     United States Treasury Note      3.000   09/30/25   34,180,078 
 30,000,000     United States Treasury Note      2.250   11/15/25   33,052,734 
 50,000,000     United States Treasury Note      2.250   03/31/26   55,333,985 
 30,000,000     United States Treasury Note      1.625   05/15/26   32,152,734 
 71,000,000     United States Treasury Note      1.625   09/30/26   76,247,344 
 10,000,000     United States Treasury Note      1.625   10/31/26   10,742,578 
 89,500,000     United States Treasury Note      1.750   12/31/26   96,950,176 
 46,000,000     United States Treasury Note      2.250   08/15/27   51,667,344 
 48,800,000     United States Treasury Note      2.750   02/15/28   56,922,531 
 66,000,000     United States Treasury Note      2.875   05/15/28   77,885,156 
 85,000,000     United States Treasury Note      3.125   11/15/28   102,757,031 
 50,000,000     United States Treasury Note      2.625   02/15/29   58,585,938 
 92,000,000     United States Treasury Note      2.375   05/15/29   106,166,563 
 22,000,000     United States Treasury Note      1.625   08/15/29   24,000,625 
 117,000,000     United States Treasury Note      1.500   02/15/30   126,465,117 
 48,000,000     United States Treasury Note      0.625   05/15/30   47,853,750 
 12,000,000     United States Treasury Note      1.000   05/15/40   11,886,563 
 42,850,000     United States Treasury Note      1.250   05/15/50   41,137,674 
       TOTAL U.S. TREASURY SECURITIES              6,150,821,905 
                        
       TOTAL GOVERNMENT BONDS              11,496,964,529 
       (Cost $10,664,548,102)                
                        
STRUCTURED ASSETS - 2.6%
                        
ASSET BACKED - 0.6%
 281,703     American Airlines Pass Through Trust      4.000   07/15/25   215,058 
       Series - 2013 1 (Class A)                
 210,472     American Airlines Pass Through Trust      3.700   10/01/26   178,577 
       Series - 2014 1 (Class A)                
 225,713     American Airlines Pass Through Trust      3.375   05/01/27   188,865 
       Series - 2015 1 (Class A)                
 162,109     American Airlines Pass Through Trust      3.600   09/22/27   149,848 
       Series - 2015 2 (Class AA)                
 166,624     American Airlines Pass Through Trust      3.575   01/15/28   161,208 
       Series - 2016 1 (Class AA)                
 478,400     American Airlines Pass Through Trust      3.200   06/15/28   450,561 
       Series - 2016 2 (Class AA)                
 255,750     American Airlines Pass Through Trust      3.650   02/15/29   244,888 
       Series - 2017 1 (Class AA)                
 738,452     American Airlines Pass Through Trust      3.150   02/15/32   679,414 
       Series - 2019 1 (Class )                
 1,000,000     American Express Credit Account Master Trust      2.870   10/15/24   1,041,918 
       Series - 2019 1 (Class A)                
139

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$4,250,000     American Express Credit Account Master Trust      2.670%  11/15/24  $4,424,955 
       Series - 2019 2 (Class A)                
 1,325,000     AmeriCredit Automobile Receivables Trust      2.600   09/18/23   1,353,595 
       Series - 2017 4 (Class C)                
 1,000,000     AmeriCredit Automobile Receivables Trust      2.970   11/20/23   1,020,869 
       Series - 2019 1 (Class A3)                
 1,000,000     AmeriCredit Automobile Receivables Trust      1.110   08/19/24   1,006,556 
       Series - 2020 1 (Class A3)                
 500,000     AmeriCredit Automobile Receivables Trust      1.480   01/21/25   500,346 
       Series - 2020 1 (Class B)                
 1,500,000     BMW Vehicle Lease Trust      3.360   03/21/22   1,524,381 
       Series - 2018 1 (Class A4)                
 10,000,000     Cantor Commercial Real Estate Lending      3.523   05/15/52   11,245,509 
       Series - 2019 CF1 (Class A4)                
 6,000,000     Cantor Commercial Real Estate Lending      3.623   05/15/52   6,479,315 
       Series - 2019 CF1 (Class A2)                
 2,500,000     Capital One Multi-Asset Execution Trust      2.840   12/15/24   2,597,493 
       Series - 2019 A1 (Class A1)                
 2,500,000     Capital One Multi-Asset Execution Trust      2.060   08/15/28   2,665,827 
       Series - 2019 A3 (Class A3)                
 1,700,000     Capital One Prime Auto Receivables Trust      2.510   11/15/23   1,744,541 
       Series - 2019 1 (Class A3)                
 2,000,000     CarMax Auto Owner Trust      2.220   11/15/22   2,031,699 
       Series - 2017 3 (Class A4)                
 683,990     CarMax Auto Owner Trust      2.480   11/15/22   691,552 
       Series - 2018 1 (Class A3)                
 575,000     CarMax Auto Owner Trust      2.410   12/15/22   582,524 
       Series - 2017 2 (Class B)                
 1,000,000     CarMax Auto Owner Trust      1.700   11/15/24   1,023,632 
       Series - 2020 2 (Class A3)                
 1,000,000     CarMax Auto Owner Trust      2.770   12/16/24   1,053,689 
       Series - 2019 2 (Class A4)                
 3,337     CenterPoint Energy Transition Bond Co II LLC      2.161   10/15/21   3,352 
       Series - 2012 1 (Class A2)                
 1,500,000     Chase Issuance Trust      2.770   03/15/23   1,525,623 
       Series - 2014 A2 (Class A2)                
 1,000,000     Chase Issuance Trust      2.160   09/15/24   1,037,733 
       Series - 2012 A7 (Class A7)                
 2,000,000     CitiBank Credit Card Issuance Trust      1.860   08/08/22   2,002,805 
       Series - 2017 A8 (Class A8)                
 2,000,000     CitiBank Credit Card Issuance Trust      2.880   01/23/23   2,028,798 
       Series - 2014 A1 (Class A1)                
 1,250,000     CitiBank Credit Card Issuance Trust      2.190   11/20/23   1,281,884 
       Series - 2016 A2 (Class A2)                
 3,500,000     Discover Card Execution Note Trust      1.880   02/15/23   3,506,905 
       Series - 2017 A6 (Class A6)                
 500,000     Drive Auto Receivables Trust      0.830   05/15/24   501,406 
       Series - 2020 2 (Class A3)                
 500,000     Drive Auto Receivables Trust      1.420   03/17/25   501,490 
       Series - 2020 2 (Class B)                
 3,000,000     FHLMC Multifamily Structured Pass Through Certificates      2.307   08/25/22   3,096,481 
       Series - 2012 K023 (Class A2)                
140

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$155,767     FHLMC Multifamily Structured Pass Through Certificates      2.779%  09/25/22  $159,427 
       Series - 2013 K030 (Class A1)                
 500,000     FHLMC Multifamily Structured Pass Through Certificates      2.510   11/25/22   520,046 
       Series - 2013 K026 (Class A2)                
 500,000     FHLMC Multifamily Structured Pass Through Certificates      2.637   01/25/23   523,007 
       Series - 2013 K027 (Class A2)                
 38,629     FHLMC Multifamily Structured Pass Through Certificates      2.669   02/25/23   39,718 
       Series - 2013 K034 (Class A1)                
 3,000,000  i  FHLMC Multifamily Structured Pass Through Certificates      3.060   07/25/23   3,204,434 
       Series - 2013 K033 (Class A2)                
 1,750,000  i  FHLMC Multifamily Structured Pass Through Certificates      3.531   07/25/23   1,893,495 
       Series - 2013 K034 (Class A2)                
 1,500,000  i  FHLMC Multifamily Structured Pass Through Certificates      3.527   10/25/23   1,631,211 
       Series - 2014 K036 (Class A2)                
 3,000,000     FHLMC Multifamily Structured Pass Through Certificates      3.023   01/25/25   3,294,800 
       Series - 2015 K045 (Class A2)                
 3,000,000     Ford Credit Auto Owner Trust      2.230   10/15/23   3,067,507 
       Series - 2019 B (Class A3)                
 2,350,000     Ford Credit Floorplan Master Owner Trust      2.230   09/15/24   2,384,810 
       Series - 2019 3 (Class A1)                
 850,000     Ford Credit Floorplan Master Owner Trust      2.440   09/15/26   857,623 
       Series - 2019 4 (Class A)                
 1,400,000     GM Financial Automobile Leasing Trust      3.300   07/20/22   1,417,251 
       Series - 2018 3 (Class A4)                
 1,000,000     GM Financial Consumer Automobile Receivables Trust      2.710   08/16/24   1,040,618 
       Series - 2019 2 (Class A4)                
 500,000     GM Financial Consumer Automobile Receivables Trust      1.490   12/16/24   511,101 
       Series - 2020 2 (Class A3)                
 2,000,000     Honda Auto Receivables Owner Trust      2.520   06/21/23   2,060,037 
       Series - 2019 2 (Class A3)                
 2,068,000     Honda Auto Receivables Owner Trust      3.160   08/19/24   2,138,843 
       Series - 2018 2 (Class A4)                
 396,986     Hyundai Auto Receivables Trust      1.770   01/18/22   398,149 
       Series - 2017 B (Class A3)                
 1,500,000     Hyundai Auto Receivables Trust      1.960   02/15/23   1,516,167 
       Series - 2017 B (Class A4)                
 2,000,000     Hyundai Auto Receivables Trust      3.030   11/17/25   2,089,900 
       Series - 2019 A (Class C)                
 2,000,000     Nissan Auto Receivables Owner Trust      2.900   10/16/23   2,059,962 
       Series - 2019 A (Class A3)                
 2,000,000     Nissan Auto Receivables Owner Trust      2.500   11/15/23   2,058,466 
       Series - 2019 B (Class A3)                
 2,000,000     Synchrony Card Funding LLC      2.340   06/15/25   2,057,066 
       Series - 2019 A2 (Class A)                
141

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$2,160,000     Toyota Auto Receivables Owner Trust      1.360%  08/15/24  $2,200,484 
       Series - 2020 B (Class A3)                
 218,318     United Airlines Pass Through Trust      4.300   08/15/25   204,757 
       Series - 2013 1 (Class A)                
 223,746     United Airlines Pass Through Trust      3.750   09/03/26   204,099 
       Series - 2014 2 (Class A)                
 161,318     United Airlines Pass Through Trust      3.450   12/01/27   157,263 
       Series - 2015 1 (Class AA)                
 173,617     United Airlines Pass Through Trust      3.100   07/07/28   166,714 
       Series - 2016 1 (Class AA)                
 173,618     United Airlines Pass Through Trust      3.450   07/07/28   144,503 
       Series - 2016 1 (Class A)                
 347,138     United Airlines Pass Through Trust      2.875   10/07/28   324,160 
       Series - 2016 2 (Class A)                
 1,399,540     United Airlines Pass Through Trust      3.500   03/01/30   1,309,025 
       Series - 2018 1 (Class AA)                
 355,532     United Airlines Pass Through Trust      4.150   08/25/31   349,426 
       Series - 2019 1 (Class AA)                
 250,000     United Airlines Pass Through Trust      2.700   05/01/32   225,718 
       Series - 2019 2 (Class )                
 111,634     US Airways Pass Through Trust      4.625   06/03/25   94,550 
       Series - 2012 2 (Class A)                
 185,028     US Airways Pass Through Trust      3.950   11/15/25   153,062 
       Series - 2013 1 (Class A)                
 1,215,000     World Financial Network Credit Card Master Trust      2.550   06/17/24   1,217,670 
       Series - 2015 B (Class A)                
       TOTAL ASSET BACKED              100,418,366 
                        
OTHER MORTGAGE BACKED - 2.0%                
 2,000,000     BANK      3.538   11/15/54   2,250,274 
       Series - 2017 BNK9 (Class A4)                
 1,500,000     BANK      3.390   06/15/60   1,666,824 
       Series - 2017 BNK5 (Class A5)                
 5,000,000     BANK      3.641   02/15/61   5,497,884 
       Series - 2018 BN10 (Class ASB)                
 2,000,000  i  BANK      3.898   02/15/61   2,205,439 
       Series - 2018 BN10 (Class AS)                
 8,000,000     BANK      3.584   05/15/62   9,210,718 
       Series - 2019 BN18 (Class A4)                
 3,000,000     Barclays Commercial Mortgage Trust      3.674   02/15/50   3,380,709 
       Series - 2017 C1 (Class A4)                
 12,500,000     Barclays Commercial Mortgage Trust      2.690   02/15/53   13,103,259 
       Series - 2020 C6 (Class A2)                
 3,000,000     BENCHMARK Mortgage Trust      3.571   01/15/51   3,097,911 
       Series - 2018 B1 (Class A2)                
 1,000,000  i  BENCHMARK Mortgage Trust      3.878   01/15/51   1,106,421 
       Series - 2018 B1 (Class AM)                
 1,000,000     BENCHMARK Mortgage Trust      3.976   07/15/51   1,072,571 
       Series - 2018 B4 (Class A2)                
 1,000,000  i  BENCHMARK Mortgage Trust      4.714   07/15/51   868,868 
       Series - 2018 B4 (Class C)                
 5,850,000     BENCHMARK Mortgage Trust      3.542   05/15/52   6,712,133 
       Series - 2019 B11 (Class A5)                
 1,000,000  i  BENCHMARK Mortgage Trust      2.944   02/15/53   1,050,236 
       Series - 2020 B16 (Class AM)                
142

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$1,500,000  i  BENCHMARK Mortgage Trust      3.176%  02/15/53  $1,472,010 
       Series - 2020 B16 (Class B)                
 1,500,000  i  BENCHMARK Mortgage Trust      3.655   02/15/53   1,350,975 
       Series - 2020 B16 (Class C)                
 2,000,000  i  BENCHMARK Mortgage Trust      4.510   05/15/53   2,415,589 
       Series - 2018 B7 (Class A4)                
 5,000,000     BENCHMARK Mortgage Trust      2.914   12/15/72   5,217,377 
       Series - 2019 B15 (Class A2)                
 1,000,000  i  CD Commercial Mortgage Trust      3.526   11/10/49   1,107,857 
       Series - 2016 CD2 (Class A4)                
 2,000,000     CD Commercial Mortgage Trust      3.631   02/10/50   2,227,622 
       Series - 2017 CD3 (Class A4)                
 1,000,000     CD Commercial Mortgage Trust      3.025   08/15/50   1,019,254 
       Series - 2017 CD5 (Class A2)                
 2,500,000     CD Commercial Mortgage Trust      3.431   08/15/50   2,785,299 
       Series - 2017 CD5 (Class A4)                
 1,750,000     CD Commercial Mortgage Trust      4.279   08/15/51   2,058,279 
       Series - 2018 CD7 (Class A4)                
 1,000,000  i  CD Mortgage Trust      3.684   08/15/50   1,089,514 
       Series - 2017 CD5 (Class AS)                
 1,053,000     Citigroup Commercial Mortgage Trust      3.422   04/10/46   1,102,296 
       Series - 2013 GC11 (Class AS)                
 755,000     Citigroup Commercial Mortgage Trust      4.023   03/10/47   815,643 
       Series - 2014 GC19 (Class A4)                
 440,887     Citigroup Commercial Mortgage Trust      3.622   07/10/47   474,113 
       Series - 2014 GC23 (Class A4)                
 500,000     Citigroup Commercial Mortgage Trust      3.635   10/10/47   540,522 
       Series - 2014 GC25 (Class A4)                
 1,000,000     Citigroup Commercial Mortgage Trust      3.137   02/10/48   1,061,837 
       Series - 2015 GC27 (Class A5)                
 1,000,000     Citigroup Commercial Mortgage Trust      3.571   02/10/48   1,051,388 
       Series - 2015 GC27 (Class AS)                
 1,000,000     Citigroup Commercial Mortgage Trust      3.616   02/10/49   1,102,017 
       Series - 2016 GC36 (Class A5)                
 2,000,000     Citigroup Commercial Mortgage Trust      3.314   04/10/49   2,170,159 
       Series - 2016 GC37 (Class A4)                
 500,000     Citigroup Commercial Mortgage Trust      3.576   04/10/49   526,573 
       Series - 2016 GC37 (Class AS)                
 1,500,000     Citigroup Commercial Mortgage Trust      2.832   08/10/49   1,597,515 
       Series - 2016 C2 (Class A4)                
 1,000,000     Citigroup Commercial Mortgage Trust      3.465   09/15/50   1,120,051 
       Series - 2017 P8 (Class A4)                
 2,000,000     Citigroup Commercial Mortgage Trust      4.074   06/10/51   2,128,168 
       Series - 2018 C5 (Class A2)                
 1,480,000     Citigroup Commercial Mortgage Trust      3.778   09/10/58   1,638,620 
       Series - 2015 GC33 (Class A4)                
 580,000     COMM Mortgage Trust      4.063   12/10/44   593,275 
       Series - 2012 LC4 (Class AM)                
 108,353     COMM Mortgage Trust      2.752   08/15/45   108,927 
       Series - 2012 CR2 (Class ASB)                
 320,949     COMM Mortgage Trust      2.941   01/10/46   330,235 
       Series - 2013 LC6 (Class A4)                
 320,069     COMM Mortgage Trust      3.213   03/10/46   333,363 
       Series - 2013 CR7 (Class A4)                
143

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$1,000,000     COMM Mortgage Trust      4.046%  10/10/46  $1,076,548 
       Series - 2013 CR12 (Class A4)                
 295,009     COMM Mortgage Trust      2.928   02/10/47   295,889 
       Series - 2014 CR15 (Class A2)                
 2,750,000     COMM Mortgage Trust      3.955   02/10/47   2,955,514 
       Series - 2014 CR14 (Class A3)                
 500,000     COMM Mortgage Trust      3.961   03/10/47   541,415 
       Series - 2014 UBS2 (Class A5)                
 1,000,000     COMM Mortgage Trust      4.051   04/10/47   1,090,926 
       Series - 2014 CR16 (Class A4)                
 1,000,000     COMM Mortgage Trust      3.819   06/10/47   1,078,871 
       Series - 2014 UBS3 (Class A4)                
 1,000,000     COMM Mortgage Trust      3.694   08/10/47   1,077,074 
       Series - 2014 UBS4 (Class A5)                
 924,000     COMM Mortgage Trust      3.326   11/10/47   979,913 
       Series - 2014 CR20 (Class A3)                
 1,000,000     COMM Mortgage Trust      3.590   11/10/47   1,072,198 
       Series - 2014 CR20 (Class A4)                
 1,000,000  i  COMM Mortgage Trust      4.339   12/10/47   1,032,689 
       Series - 2014 CR21 (Class B)                
 3,150,000     COMM Mortgage Trust      3.183   02/10/48   3,381,156 
       Series - 2015 LC19 (Class A4)                
 1,000,000  i  COMM Mortgage Trust      4.382   02/10/48   1,002,164 
       Series - 2015 LC19 (Class C)                
 1,700,000     COMM Mortgage Trust      3.708   07/10/48   1,868,272 
       Series - 2015 LC21 (Class A4)                
 967,829     COMM Mortgage Trust      3.432   08/10/48   1,050,738 
       Series - 2015 CR24 (Class A4)                
 1,000,000     COMM Mortgage Trust      3.759   08/10/48   1,096,886 
       Series - 2015 CR25 (Class A4)                
 1,500,000     COMM Mortgage Trust      3.221   10/10/48   1,504,777 
       Series - 2015 LC23 (Class A2)                
 1,500,000     COMM Mortgage Trust      3.774   10/10/48   1,660,178 
       Series - 2015 LC23 (Class A4)                
 500,000     COMM Mortgage Trust      4.258   08/10/50   543,150 
       Series - 2013 CR11 (Class A4)                
 5,000,000     COMM Mortgage Trust      2.827   08/15/57   5,296,078 
       Series - 2019 GC44 (Class A2)                
 3,000,000     COMM Mortgage Trust      3.263   08/15/57   3,233,171 
       Series - 2019 GC44 (Class AM)                
 650,000  i  CSAIL Commercial Mortgage Trust      5.089   01/15/49   600,141 
       Series - 2016 C6 (Class C)                
 22,288     CSAIL Commercial Mortgage Trust      2.608   11/15/49   22,277 
       Series - 2016 C7 (Class A3)                
 2,000,000  i  CSAIL Commercial Mortgage Trust      4.224   08/15/51   2,319,806 
       Series - 2018 CX12 (Class A4)                
 10,000,000     CSAIL Commercial Mortgage Trust      4.053   03/15/52   11,523,035 
       Series - 2019 C15 (Class A4)                
 2,000,000     DBGS Mortgage Trust      4.358   10/15/51   2,184,025 
       Series - 2018 C1 (Class A2)                
 5,790,000     DBGS Mortgage Trust      4.466   10/15/51   6,862,152 
       Series - 2018 C1 (Class A4)                
 2,000,000     DBJPM      2.691   05/10/49   2,015,571 
       Series - 2016 C1 (Class A2)                
144

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$3,500,000     DBJPM      3.276%  05/10/49  $3,802,528 
       Series - 2016 C1 (Class A4)                
 1,000,000     DBJPM      3.539   05/10/49   1,047,942 
       Series - 2016 C1 (Class AM)                
 1,590,000     DBJPM      3.328   06/10/50   1,756,739 
       Series - 2017 C6 (Class A5)                
 100,899     GS Mortgage Securities Corp II      3.314   01/10/45   101,649 
       Series - 2012 GC6 (Class AAB)                
 300,000     GS Mortgage Securities Corp II      2.943   02/10/46   309,805 
       Series - 2013 GC10 (Class A5)                
 300,000     GS Mortgage Securities Corp II      3.279   02/10/46   305,741 
       Series - 2013 GC10 (Class AS)                
 800,000     GS Mortgage Securities Corp II      3.382   05/10/50   864,804 
       Series - 2015 GC30 (Class A4)                
 498,119     GS Mortgage Securities Trust      3.482   01/10/45   508,597 
       Series - 2012 GC6 (Class A3)                
 195,000     GS Mortgage Securities Trust      4.740   05/10/45   198,220 
       Series - 2012 GCJ7 (Class B)                
 500,000     GS Mortgage Securities Trust      3.135   06/10/46   521,683 
       Series - 2013 GC12 (Class A4)                
 369,682     GS Mortgage Securities Trust      3.813   11/10/46   385,466 
       Series - 2013 GC16 (Class AAB)                
 1,000,000     GS Mortgage Securities Trust      4.074   01/10/47   1,080,597 
       Series - 2014 GC18 (Class A4)                
 1,500,000     GS Mortgage Securities Trust      3.964   11/10/47   1,587,576 
       Series - 2014 GC26 (Class AS)                
 1,900,000     GS Mortgage Securities Trust      3.136   02/10/48   2,019,500 
       Series - 2015 GC28 (Class A4)                
 1,500,000     GS Mortgage Securities Trust      3.178   11/10/49   1,629,914 
       Series - 2016 GS4 (Class A3)                
 1,350,000  i  GS Mortgage Securities Trust      3.919   11/10/49   1,166,483 
       Series - 2016 GS4 (Class C)                
 1,000,000     GS Mortgage Securities Trust      2.945   08/10/50   1,030,500 
       Series - 2017 GS7 (Class A2)                
 1,500,000     GS Mortgage Securities Trust      3.430   08/10/50   1,674,464 
       Series - 2017 GS7 (Class A4)                
 1,000,000     GS Mortgage Securities Trust      3.872   02/10/52   1,077,612 
       Series - 2019 GC38 (Class A2)                
 2,500,000     GS Mortgage Securities Trust      3.968   02/10/52   2,898,219 
       Series - 2019 GC38 (Class A4)                
 500,000  i  GS Mortgage Securities Trust      4.309   02/10/52   515,064 
       Series - 2019 GC38 (Class B)                
 2,500,000     GS Mortgage Securities Trust      2.898   02/13/53   2,669,568 
       Series - 2020 GC45 (Class A2)                
 4,000,000     GS Mortgage Securities Trust      3.173   02/13/53   4,292,725 
       Series - 2020 GC45 (Class AS)                
 2,000,000     GS Mortgage Securities Trust      3.405   02/13/53   1,969,273 
       Series - 2020 GC45 (Class B)                
 2,000,000     GS Mortgage Securities Trust      2.125   05/12/53   2,066,849 
       Series - 2020 GC47 (Class A4)                
 4,000,000     GS Mortgage Securities Trust      2.377   05/12/53   4,215,041 
       Series - 2020 GC47 (Class A5)                
145

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$300,000  i  JP Morgan Chase Commercial Mortgage Securities Corp      5.324%  05/15/45  $238,884 
       Series - 2012 C6 (Class D)                
 282,794     JP Morgan Chase Commercial Mortgage Securities Corp      3.483   06/15/45   288,628 
       Series - 2012 CBX (Class A4)                
 410,544  i  JP Morgan Chase Commercial Mortgage Securities Corp      3.994   01/15/46   438,506 
       Series - 2013 C13 (Class A4)                
 1,500,000     JP Morgan Chase Commercial Mortgage Securities Corp      2.960   04/15/46   1,553,979 
       Series - 2013 LC11 (Class A5)                
 77,168     JP Morgan Chase Commercial Mortgage Securities Corp      4.171   08/15/46   78,776 
       Series - 2011 C5 (Class A3)                
 500,000     JP Morgan Chase Commercial Mortgage Securities Corp      4.166   12/15/46   540,330 
       Series - 2013 C16 (Class A4)                
 222,189     JP Morgan Chase Commercial Mortgage Securities Corp      2.702   12/15/47   225,807 
       Series - 2013 C10 (Class ASB)                
 238,547     JP Morgan Chase Commercial Mortgage Securities Corp      2.840   12/15/47   244,426 
       Series - 2012 LC9 (Class A5)                
 492,248     JP Morgan Chase Commercial Mortgage Securities Corp      3.143   12/15/47   510,684 
       Series - 2013 C10 (Class A5)                
 574,000     JP Morgan Chase Commercial Mortgage Securities Corp      3.372   12/15/47   586,462 
       Series - 2013 C10 (Class AS)                
 1,000,000     JP Morgan Chase Commercial Mortgage Securities Corp      2.822   08/15/49   1,064,558 
       Series - 2016 JP2 (Class A4)                
 1,400,000     JP Morgan Chase Commercial Mortgage Securities Corp      3.109   07/15/50   1,468,301 
       Series - 2017 JP6 (Class A3)                
 1,000,000     JP Morgan Chase Commercial Mortgage Securities Corp      3.038   09/15/50   1,031,972 
       Series - 2017 JP7 (Class A2)                
 2,500,000     JP Morgan Chase Commercial Mortgage Securities Corp      3.454   09/15/50   2,784,307 
       Series - 2017 JP7 (Class A5)                
 2,150,000     JP Morgan Chase Commercial Mortgage Securities Corp      3.219   06/13/52   2,368,798 
       Series - 2019 COR5 (Class ASB)                
 2,000,000     JPMBB Commercial Mortgage Securities Trust      3.801   09/15/47   2,173,761 
       Series - 2014 C22 (Class A4)                
 1,875,000  i  JPMBB Commercial Mortgage Securities Trust      4.118   05/15/48   1,885,522 
       Series - 2015 C29 (Class B)                
 2,700,000     JPMBB Commercial Mortgage Securities Trust      3.227   10/15/48   2,889,316 
       Series - 2015 C28 (Class A4)                
 1,100,000     JPMBB Commercial Mortgage Securities Trust      3.532   10/15/48   1,146,648 
       Series - 2015 C28 (Class AS)                
 2,000,000     JPMBB Commercial Mortgage Securities Trust      3.770   12/15/48   2,214,703 
       Series - 2015 C33 (Class A4)                
146

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$1,000,000     JPMBB Commercial Mortgage Securities Trust      3.576%  03/15/49  $1,104,751 
       Series - 2016 C1 (Class A5)                
 500,000     JPMBB Commercial Mortgage Securities Trust      3.970   03/15/49   539,930 
       Series - 2016 C1 (Class AS)                
 500,000  i  JPMBB Commercial Mortgage Securities Trust      4.895   03/15/49   527,894 
       Series - 2016 C1 (Class B)                
 1,000,000  i  JPMDB Commercial Mortgage Securities Trust      3.990   06/15/49   981,056 
       Series - 2016 C2 (Class B)                
 5,922,824     JPMDB Commercial Mortgage Securities Trust      3.141   12/15/49   6,445,551 
       Series - 2016 C4 (Class A3)                
 5,000,000     JPMDB Commercial Mortgage Securities Trust      2.946   11/13/52   5,349,355 
       Series - 2019 COR6 (Class A2)                
 60,000     Morgan Stanley Bank of America Merrill Lynch Trust      2.918   02/15/46   61,694 
       Series - 2013 C7 (Class A4)                
 551,553     Morgan Stanley Bank of America Merrill Lynch Trust      2.834   05/15/46   567,902 
       Series - 2013 C9 (Class A3)                
 1,250,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.102   05/15/46   1,296,948 
       Series - 2013 C9 (Class A4)                
 500,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.456   05/15/46   514,014 
       Series - 2013 C9 (Class AS)                
 240,000  i  Morgan Stanley Bank of America Merrill Lynch Trust      3.708   05/15/46   243,110 
       Series - 2013 C9 (Class B)                
 121,408     Morgan Stanley Bank of America Merrill Lynch Trust      3.824   10/15/46   125,543 
       Series - 2013 C12 (Class ASB)                
 239,714     Morgan Stanley Bank of America Merrill Lynch Trust      3.669   02/15/47   241,629 
       Series - 2014 C14 (Class A3)                
 987,245     Morgan Stanley Bank of America Merrill Lynch Trust      3.654   04/15/47   1,032,005 
       Series - 2014 C15 (Class ASB)                
 2,000,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.892   06/15/47   2,153,819 
       Series - 2014 C16 (Class A5)                
 3,500,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.249   02/15/48   3,715,255 
       Series - 2015 C20 (Class A4)                
 1,000,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.306   04/15/48   1,066,638 
       Series - 2015 C22 (Class A4)                
 1,000,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.732   05/15/48   1,097,850 
       Series - 2015 C24 (Class A4)                
 3,000,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.134   12/15/48   3,101,860 
       Series - 2013 C8 (Class A4)                
 2,000,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.599   05/15/50   2,233,298 
       Series - 2017 C33 (Class A5)                
 1,250,000     Morgan Stanley Capital I Trust      3.244   03/15/45   1,272,866 
       Series - 2012 C4 (Class A4)                
 535,000     Morgan Stanley Capital I Trust      3.594   03/15/49   577,127 
       Series - 2016 UBS9 (Class A4)                
 1,000,000     Morgan Stanley Capital I Trust      3.997   07/15/51   1,071,696 
       Series - 2018 H3 (Class A2)                
 1,000,000  i  Morgan Stanley Capital I Trust      5.012   07/15/51   1,002,928 
       Series - 2018 H3 (Class C)                
 1,500,000  i  Morgan Stanley Capital I Trust      4.238   10/15/51   1,714,222 
       Series - 2018 L1 (Class ASB)                
 2,000,000     Morgan Stanley Capital I Trust      4.288   10/15/51   2,181,024 
       Series - 2018 L1 (Class A2)                
 1,500,000  i  Morgan Stanley Capital I Trust      4.407   10/15/51   1,785,979 
       Series - 2018 L1 (Class A4)                
147

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$1,000,000     Morgan Stanley Capital I Trust      4.071%  03/15/52  $1,174,247 
       Series - 2019 L2 (Class A4)                
 5,000,000     Morgan Stanley Capital I Trust      3.224   06/15/52   5,473,411 
       Series - 2019 H6 (Class ASB)                
 750,000     Morgan Stanley Capital I Trust      3.417   06/15/52   844,700 
       Series - 2019 H6 (Class A4)                
 1,500,000     UBS Barclays Commercial Mortgage Trust      3.185   03/10/46   1,553,190 
       Series - 2013 C5 (Class A4)                
 500,000     UBS Barclays Commercial Mortgage Trust      3.244   04/10/46   518,938 
       Series - 2013 C6 (Class A4)                
 1,000,000     UBS Barclays Commercial Mortgage Trust      3.525   05/10/63   1,034,562 
       Series - 2012 C2 (Class A4)                
 326,470     UBS Citigroup Commercial Mortgage Trust      3.595   01/10/45   332,409 
       Series - 2011 C1 (Class A3)                
 100,000     UBS Commercial Mortgage Trust      4.822   05/10/45   100,286 
       Series - 2012 C1 (Class B)                
 1,000,000     UBS Commercial Mortgage Trust      2.998   08/15/50   1,032,841 
       Series - 2017 C3 (Class A2)                
 1,500,000     UBS Commercial Mortgage Trust      3.426   08/15/50   1,629,822 
       Series - 2017 C3 (Class A4)                
 1,000,000  i  UBS Commercial Mortgage Trust      3.739   08/15/50   1,061,473 
       Series - 2017 C3 (Class AS)                
 1,000,000     UBS Commercial Mortgage Trust      3.147   10/15/50   1,036,106 
       Series - 2017 C4 (Class A2)                
 5,000,000     UBS Commercial Mortgage Trust      3.713   02/15/51   5,230,456 
       Series - 2018 C8 (Class A2)                
 11,000,000     UBS Commercial Mortgage Trust      4.313   05/15/51   12,831,223 
       Series - 2018 C10 (Class A4)                
 2,000,000     UBS Commercial Mortgage Trust      4.296   08/15/51   2,375,887 
       Series - 2018 C12 (Class A5)                
 2,400,000  i  UBS Commercial Mortgage Trust      5.446   12/15/51   2,179,158 
       Series - 2018 C14 (Class C)                
 875,000  i  Wells Fargo Commercial Mortgage Trust      3.872   05/15/48   925,830 
       Series - 2015 C28 (Class AS)                
 2,000,000     Wells Fargo Commercial Mortgage Trust      3.695   11/15/48   2,168,740 
       Series - 2015 C31 (Class A4)                
 480,000  i  Wells Fargo Commercial Mortgage Trust      4.224   12/15/48   442,692 
       Series - 2015 NXS4 (Class B)                
 2,000,000     Wells Fargo Commercial Mortgage Trust      2.652   08/15/49   2,096,485 
       Series - 2016 BNK1 (Class A3)                
 500,000     Wells Fargo Commercial Mortgage Trust      2.967   08/15/49   471,696 
       Series - 2016 BNK1 (Class B)                
 1,000,000     Wells Fargo Commercial Mortgage Trust      3.377   11/15/49   1,040,647 
       Series - 2016 NXS6 (Class AS)                
 2,000,000     Wells Fargo Commercial Mortgage Trust      4.152   08/15/51   2,330,356 
       Series - 2018 C46 (Class A4)                
 2,700,000     Wells Fargo Commercial Mortgage Trust      3.760   03/15/52   3,091,572 
       Series - 2019 C49 (Class A4)                
 2,000,000     Wells Fargo Commercial Mortgage Trust      3.635   05/15/52   2,235,703 
       Series - 2019 C50 (Class ASB)                
 3,250,000     Wells Fargo Commercial Mortgage Trust      4.192   05/15/52   3,319,316 
       Series - 2019 C50 (Class B)                
 10,000,000     Wells Fargo Commercial Mortgage Trust      3.040   10/15/52   11,077,322 
       Series - 2019 C53 (Class A4)                
148

TIAA-CREF FUNDS – Bond Index Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$117,000     Wells Fargo Commercial Mortgage Trust      3.896%  03/15/59  $104,700 
       Series - 2016 C33 (Class C)                
 1,075,000     WF-RBS Commercial Mortgage Trust      3.037   03/15/45   1,108,703 
       Series - 2013 C11 (Class A4)                
 250,000  i  WF-RBS Commercial Mortgage Trust      4.966   06/15/45   172,164 
       Series - 2012 C7 (Class C)                
 400,000     WF-RBS Commercial Mortgage Trust      3.001   08/15/45   407,442 
       Series - 2012 C8 (Class A3)                
 775,000     WF-RBS Commercial Mortgage Trust      3.241   12/15/45   769,478 
       Series - 2012 C10 (Class AS)                
 600,000     WF-RBS Commercial Mortgage Trust      3.337   06/15/46   630,466 
       Series - 2013 C14 (Class A5)                
 500,000  i  WF-RBS Commercial Mortgage Trust      4.646   03/15/47   469,579 
       Series - 2014 C19 (Class C)                
 1,000,000  i  WF-RBS Commercial Mortgage Trust      4.723   03/15/47   1,030,850 
       Series - 2014 C19 (Class B)                
 500,000     WF-RBS Commercial Mortgage Trust      3.198   03/15/48   517,382 
       Series - 2013 C12 (Class A4)                
       TOTAL OTHER MORTGAGE BACKED              324,283,042 
                        
       TOTAL STRUCTURED ASSETS              424,701,408 
       (Cost $405,277,847)                
                        
       TOTAL BONDS              16,517,954,465 
       (Cost $15,234,419,090)                
                        
SHORT-TERM INVESTMENTS - 1.8%
                        
GOVERNMENT AGENCY DEBT - 0.2%
 11,000,000     Federal Home Loan Bank (FHLB)      0.100   07/24/20   10,999,156 
 28,195,000     FHLB      0.130   08/07/20   28,190,653 
       TOTAL GOVERNMENT AGENCY DEBT           39,189,809 
                        
REPURCHASE AGREEMENT - 0.2%
 30,000,000  r  Fixed Income Clearing Corp      0.070   07/01/20   30,000,000 
       TOTAL REPURCHASE AGREEMENT           30,000,000 
                        
TREASURY DEBT - 1.4%
 30,000,000     United States Treasury Bill      0.090   07/02/20   29,999,921 
 34,700,000     United States Treasury Bill      0.090-0.110   07/07/20   34,699,291 
 12,760,000     United States Treasury Bill      0.100   07/09/20   12,759,639 
 27,300,000     United States Treasury Bill      0.100   07/14/20   27,298,952 
 40,000,000     United States Treasury Bill      0.110-0.150   07/21/20   39,997,444 
 32,530,000     United States Treasury Bill      0.110-0.120   08/04/20   32,526,083 
 25,000,000     United States Treasury Bill      0.130   08/20/20   24,995,660 
 25,000,000     United States Treasury Bill      0.130   08/25/20   24,994,844 
       TOTAL TREASURY DEBT              227,271,834 
                        
       TOTAL SHORT-TERM INVESTMENTS           296,461,643 
       (Cost $296,462,924)                
149

TIAA-CREF FUNDS – Bond Index Fund

 

                  VALUE 
       TOTAL INVESTMENTS - 101.4%             $16,814,416,108 
       (Cost $15,530,882,014)                
       OTHER ASSETS & LIABILITIES, NET - (1.4)%              (233,004,011)
       NET ASSETS - 100.0%             $16,581,412,097 
             
             
          Abbreviation(s):
  DGS1       1-Year Treasury Constant Maturity Rate
  LIBOR       London Interbank Offered Rate
  M       Month
  REIT       Real Estate Investment Trust
             
        Perpetual security
  g       Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $168,081,175 or 1.0% of net assets.
  h       All or a portion of these securities were purchased on a delayed delivery basis.
  i       Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
  j       Zero coupon
  r       Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $30,000,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $30,600,048.
150

TIAA-CREF FUNDS – Core Bond Fund

 

TIAA-CREF FUNDS
CORE BOND FUND
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2020

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
BANK LOAN OBLIGATIONS - 1.7%            
                
AUTOMOBILES & COMPONENTS - 0.0%                
$994,987   i  Clarios Global LP  LIBOR 3 M + 3.500%   3.678%  04/30/26  $945,238 
 992,347   i  Gates Global LLC  LIBOR 3 M + 2.750%   3.750   04/01/24   953,477 
        TOTAL AUTOMOBILES & COMPONENTS           1,898,715 
                         
BANKS - 0.0%                
 920,340   i  BCPE Rover Merger Sub, Inc  LIBOR 3 M + 4.250%   4.428   11/28/25   879,946 
        TOTAL BANKS              879,946 
                         
CAPITAL GOODS - 0.1%                
 701,491   i  Avolon TLB Borrower US LLC  LIBOR 3 M + 1.750%   2.500   01/15/25   651,159 
 922,688   i  Avolon TLB Borrower US LLC  LIBOR 1 M + 1.500%   2.250   02/05/27   837,726 
 1,000,000   h,i  Gardner Denver, Inc  LIBOR 1 M + 2.750%   2.934   03/01/27   970,000 
 591,487   i  Prometric Holdings Inc  LIBOR 3 M + 3.000%   4.500   01/29/25   533,078 
 1,470,000   i  TransDigm, Inc  LIBOR 1 M + 2.250%   2.428   08/22/24   1,325,455 
 481,474   i  TransDigm, Inc  LIBOR 1 M + 2.250%   2.428   12/09/25   431,950 
        TOTAL CAPITAL GOODS              4,749,368 
                         
COMMERCIAL & PROFESSIONAL SERVICES - 0.2%                
 2,164,125   i  Allied Universal Holdco LLC  LIBOR 1 M + 4.250%   4.428   07/10/26   2,098,747 
 487,488   i  Brightview Landscapes LLC  LIBOR 3 M + 2.500%   2.688   08/15/25   472,863 
 1,371,717   i  Clean Harbors, Inc  LIBOR 3 M + 1.750%   1.928   06/28/24   1,339,715 
 1,594,190   i  Filtration Group Corp  LIBOR 3 M + 3.000%   3.178   03/28/25   1,514,480 
 1,179,953   i  GFL Environmental, Inc  LIBOR 3 M + 3.000%   4.000   05/30/25   1,144,802 
 122,239   i  Gopher Sub, Inc  LIBOR 3 M + 3.000%   3.750   02/03/25   115,936 
 258,427   i  KAR Auction Services, Inc  LIBOR 1 M + 2.250%   2.500   09/19/26   244,537 
 795,918   i  Packers Holdings LLC  LIBOR 3 M + 3.250%   4.000   12/04/24   760,500 
 857,000   i  Prime Security Services  LIBOR 1 M + 3.250%   4.250   09/23/26   822,189 
 1,488,665   i  Sedgwick Claims Management Services, Inc  LIBOR 3 M + 3.250%   3.428   12/31/25   1,402,010 
 1,865,483   i  Spin Holdco, Inc  LIBOR 3 M + 3.250%   4.250   11/14/22   1,781,237 
 1,500,000   i  Syneos Health Inc  LIBOR 3 M + 2.000%   1.928   08/01/24   1,440,000 
 1,392,792   i  Trans Union LLC  LIBOR 1 M + 1.750%   1.928   11/16/26   1,329,685 
 2,000,000   i  XPO Logistics, Inc  LIBOR 3 M + 2.000%   2.178   02/24/25   1,945,460 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES           16,412,161 
                         
CONSUMER DURABLES & APPAREL - 0.0%                
 1,084,121   i  Samsonite IP Holdings Sarl  LIBOR 3 M + 1.750%   1.928   04/25/25   1,005,522 
        TOTAL CONSUMER DURABLES & APPAREL           1,005,522 
                         
CONSUMER SERVICES - 0.1%                
 1,349,069   i  1011778 BC ULC  LIBOR 1 M + 1.750%   1.928   11/19/26   1,276,220 
 1,477,099   i  AlixPartners LLP  LIBOR 1 M + 2.500%   2.678   04/04/24   1,424,780 
 855,977   i  Boyd Gaming Corp  LIBOR 3 M + 2.250%   2.359   09/15/23   802,744 
 360,000   h,i  Caesars Resort Collection LLC  LIBOR 1 M + 4.500%   4.500   06/19/25   337,727 
 388,301   i,q  CDS US Intermediate Holdings, Inc  LIBOR 3 M + 3.750%   4.750   07/08/22   173,279 
151

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$328,114   i  KUEHG Corp  LIBOR 3 M + 3.750%   4.750%  02/21/25  $276,669 
 1,909,555   i  Scientific Games International, Inc  LIBOR 1 M + 2.750%   3.058   08/14/24   1,684,228 
 2,096,027   i  Sterling Midco Holdings, Inc  LIBOR 3 M + 3.500%   4.500   06/19/24   1,791,453 
 498,815   i  YUM! Brands  LIBOR 3 M + 1.750%   1.944   04/03/25   476,992 
        TOTAL CONSUMER SERVICES              8,244,092 
                         
DIVERSIFIED FINANCIALS - 0.0%                
 619,435   i  Lions Gate Capital Holdings LLC  LIBOR 3 M + 2.250%   2.428   03/24/25   584,208 
        TOTAL DIVERSIFIED FINANCIALS           584,208 
                         
ENERGY - 0.1%                
 1,421,438   i  Buckeye Partners LP  LIBOR 1 M + 2.750%   2.923   11/02/26   1,359,605 
 650,000   i  ChampionX Holding, Inc  LIBOR 1 M + 5.000%   6.000   05/28/27   638,625 
 1,937,606   i  Delek US Holdings, Inc  LIBOR 3 M + 2.250%   2.428   03/31/25   1,792,285 
        TOTAL ENERGY              3,790,515 
                         
FOOD, BEVERAGE & TOBACCO - 0.0%                
 150,000   i  Froneri US, Inc  LIBOR 1 M + 2.250%   2.428   01/29/27   140,719 
 994,988   i  Hostess Brands LLC  LIBOR 1 M + 2.250%   3.000   08/01/25   958,173 
        TOTAL FOOD, BEVERAGE & TOBACCO           1,098,892 
                         
HEALTH CARE EQUIPMENT & SERVICES - 0.2%                
 2,090,639   i  Change Healthcare Holdings LLC  LIBOR 1 M + 2.500%   3.500   03/01/24   1,044,732 
 927,328   i  Da Vinci Purchaser Corp  LIBOR 1 M + 4.000%   5.238   01/08/27   1,626,844 
 994,987   i  DaVita, Inc  LIBOR 1 M + 1.750%   1.928   08/12/26   1,198,298 
 698,250   i  Endo Luxembourg Finance I Co Sarl  LIBOR 3 M + 4.250%   5.000   04/29/24   1,674,430 
 739,893   i  Envision Healthcare Corp  LIBOR 3 M + 3.750%   3.928   10/10/25   477,196 
 992,288   i  ExamWorks Group Inc  LIBOR 3 M + 3.250%   4.322   07/27/23   967,481 
 1,718,168   i  Gentiva Health Services, Inc  LIBOR 1 M + 3.250%   3.438   07/02/25   1,434,700 
 1,425,000   i  Greatbatch Ltd  LIBOR 1 M + 2.500%   3.500   10/27/22   233,804 
 855,977   i  Grifols Worldwide Operations USA, Inc  LIBOR 1 M + 2.000%   2.109   11/15/27   1,984,373 
 180,850   i  Jaguar Holding Co II  LIBOR 3 M + 2.500%   3.500   08/18/22   978,832 
 111,029   i  NMN Holdings III Corp  LIBOR 3 M + 3.750%   3.928   11/13/25   572,036 
 610,172   i  NMN Holdings III Corp  LIBOR 3 M + 3.750%   3.928   11/13/25   122,716 
 669,814   i  RegionalCare Hospital Partners Holdings, Inc  LIBOR 1 M + 3.750%   3.924   11/16/25   2,170,825 
 1,477,099   i  Select Medical Corp  LIBOR 3 M + 2.500%   2.680   03/06/25   1,845,348 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES           16,331,615 
                         
INSURANCE - 0.1%                
 1,375,553   i  Acrisure LLC  LIBOR 1 M + 3.500%   3.678   02/15/27   1,296,458 
 1,952,594   i  Asurion LLC  LIBOR 1 M + 3.000%   3.178   11/03/24   1,880,602 
 1,492,500   i  HUB International Ltd  LIBOR 1 M + 4.000%   5.000   04/25/25   1,464,143 
 2,002,934   i  NFP Corp  LIBOR 1 M + 3.250%   3.428   02/15/27   1,862,729 
 1,989,770   i  USI, Inc  LIBOR 3 M + 3.000%   3.308   05/16/24   1,884,312 
        TOTAL INSURANCE              8,388,244 
                         
MATERIALS - 0.2%                
 988,570   i  Atotech Alpha 3 BV  LIBOR 3 M + 3.000%   4.000   01/31/24   949,769 
 2,325,403   i  Berry Global, Inc  LIBOR 1 M + 2.000%   2.177   10/01/22   2,260,919 
 1,937,677   i  Chemours Co  LIBOR 3 M + 1.750%   1.930   04/03/25   1,823,839 
 1,141,411   i  H.B. Fuller Co  LIBOR 3 M + 2.000%   2.190   10/21/24   1,099,715 
 1,000,000   h,i  Illuminate Buyer LLC  LIBOR 1 M + 4.000%   5.000   06/18/27   983,500 
 1,752,813   i  Messer Industries USA, Inc  LIBOR 3 M + 2.500%   2.808   03/01/26   1,667,363 
152

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,500,000   i  PQ Corp  LIBOR 1 M + 2.250%   2.428%  02/07/27  $1,442,505 
 349,125   i  Reynolds Consumer Products LLC  LIBOR 1 M + 1.750%   1.928   02/04/27   335,844 
 288,646   i  Starfruit US Holdco LLC  LIBOR 1 M + 3.000%   3.188   10/01/25   270,124 
 994,987   i  Tamko Building Products, Inc  LIBOR 3 M + 3.250%   3.428   05/29/26   955,188 
 1,376,582   i  Tronox Finance LLC  LIBOR 3 M + 3.000%   3.058   09/23/24   1,318,462 
 554,982   i  Univar USA, Inc  LIBOR 3 M + 2.250%   2.428   07/01/24   533,132 
        TOTAL MATERIALS              13,640,360 
                         
MEDIA & ENTERTAINMENT - 0.1%                
 300,000   h,i  Banijay Group US Holding, Inc  LIBOR 1 M + 3.750%   4.750   03/04/25   283,500 
 1,488,750   i  Diamond Sports Group LLC  LIBOR 1 M + 3.250%   3.430   08/24/26   1,207,748 
 385,394   i  Nielsen Finance LLC  LIBOR 3 M + 2.000%   2.180   10/04/23   371,038 
 2,300,000   i  Nielsen Finance LLC  LIBOR 1 M + 3.750%   4.750   06/06/25   2,274,125 
 746,250   i  Pregis TopCo Corp  LIBOR 1 M + 4.000%   4.178   07/31/26   717,952 
 771,125   i  Terrier Media Buyer, Inc  LIBOR 1 M + 4.250%   4.428   12/17/26   733,857 
 645,636   i  Univision Communications, Inc  LIBOR 1 M + 3.750%   4.750   06/24/26   629,494 
 1,712,500   i  Vertical US Newco, Inc  LIBOR 1 M + 4.250%   4.250   06/30/27   1,678,250 
 950,000   i  Virgin Media Bristol LLC  LIBOR 1 M + 2.500%   2.685   01/31/28   905,113 
 267,406   i  Wand NewCo 3, Inc  LIBOR 1 M + 3.000%   4.072   02/05/26   253,367 
        TOTAL MEDIA & ENTERTAINMENT           9,054,444 
                         
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.1%        
 607,813   i  Alphabet Holding Co, Inc  LIBOR 3 M + 3.500%   3.678   09/26/24   570,772 
 984,954   i  Auris Luxembourg III Sarl  LIBOR 3 M + 3.750%   3.928   02/27/26   856,910 
 2,052,142   i  Bausch Health Americas, Inc  LIBOR 3 M + 3.000%   3.190   06/02/25   1,991,357 
 1,302,857   i  Bausch Health Americas, Inc  LIBOR 3 M + 2.750%   2.940   11/27/25   1,257,440 
 2,000,000   h,i  Catalent Pharma Solutions, Inc  LIBOR 3 M + 2.250%   3.250   05/18/26   1,973,340 
 1,277,545   i  Horizon Therapeutics USA, Inc  LIBOR 1 M + 2.250%   2.438   05/22/26   1,234,428 
 997,169   i  PAREXEL International Corp  LIBOR 3 M + 2.750%   2.928   09/27/24   942,953 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   8,827,200 
                         
REAL ESTATE - 0.0%                
 1,718,222   i  Cushman & Wakefield plc  LIBOR 1 M + 2.750%   2.928   08/21/25   1,614,270 
        TOTAL REAL ESTATE              1,614,270 
                         
RETAILING - 0.0%                
 298,500   i  Camelot Finance S.A.  LIBOR 1 M + 3.250%   3.178   10/28/26   288,614 
 982,538   i  Staples, Inc  LIBOR 3 M + 5.000%   5.687   04/16/26   842,526 
        TOTAL RETAILING              1,131,140 
                         
SOFTWARE & SERVICES - 0.1%                
 673,313   i  Dun & Bradstreet Corp  LIBOR 1 M + 4.000%   4.184   02/06/26   654,796 
 68,912   i  IQVIA, Inc  LIBOR 1 M + 1.750%   2.500   03/07/24   66,673 
 458,848   i  NeuStar, Inc  LIBOR 3 M + 3.500%   4.572   08/08/24   418,795 
 1,750,000   i  Web.com Group Inc  LIBOR 3 M + 3.750%   3.940   10/10/25   1,650,828 
        TOTAL SOFTWARE & SERVICES              2,791,092 
                         
TECHNOLOGY HARDWARE & EQUIPMENT - 0.1%                
 372,188   i  CommScope, Inc  LIBOR 3 M + 3.250%   3.428   04/06/26   351,717 
 3,255,380   h,i  Dell International LLC  LIBOR 1 M + 2.000%   2.750   09/19/25   3,167,029 
 111,029   i  MTS Systems Corp  LIBOR 3 M + 3.250%   4.000   07/05/23   106,033 
 864,063   i  Pitney Bowes Inc  LIBOR 1 M + 5.500%   5.680   01/07/25   718,900 
153

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$899,461   i  Plantronics, Inc  LIBOR 3 M + 2.500%   3.572%  07/02/25  $817,007 
 1,500,000   i  TTM Technologies, Inc  LIBOR 3 M + 2.500%   2.673   09/28/24   1,447,500 
 984,988   i  VeriFone Systems, Inc  LIBOR 3 M + 4.000%   4.377   08/20/25   817,894 
 669,814   i  Western Digital Corp  LIBOR 1 M + 1.750%   1.924   04/29/23   650,349 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           8,076,429 
                         
TELECOMMUNICATION SERVICES - 0.1%                
 927,328   i  CNT Holdings III Corp  LIBOR 3 M + 3.250%   4.080   01/22/23   900,380 
 698,250   i  Front Range BidCo, Inc  LIBOR 1 M + 3.000%   3.178   03/09/27   661,187 
 2,250,000   i  T-Mobile USA, Inc  LIBOR 1 M + 3.000%   3.178   04/01/27   2,245,140 
        TOTAL TELECOMMUNICATION SERVICES           3,806,707 
                         
TRANSPORTATION - 0.1%                
 1,469,697   i  American Airlines, Inc  LIBOR 3 M + 2.000%   2.185   12/14/23   1,169,232 
 317,967   i  Avis Budget Car Rental LLC  LIBOR 1 M + 1.750%   2.430   08/06/27   281,798 
 425,000   i  Delta Air Lines, Inc  LIBOR 1 M + 4.750%   5.510   04/27/23   416,236 
 280,299   i  Kenan Advantage Group, Inc  LIBOR 3 M + 3.000%   4.000   07/29/22   252,151 
 1,178,711   i  Kenan Advantage Group, Inc  LIBOR 3 M + 3.000%   4.000   08/01/22   1,060,345 
 550,000   h  United Air Lines, Inc      6.500   06/26/27   545,644 
 1,665,570   i  Vouvray US Finance, LLC  LIBOR 3 M + 3.000%   4.000   03/11/24   1,203,374 
        TOTAL TRANSPORTATION              4,928,780 
                         
UTILITIES - 0.1%                
 997,500   i  AssuredPartners Inc  LIBOR 1 M + 4.500%   5.500   02/12/27   977,550 
 979,381   i  Calpine Corp  LIBOR 1 M + 2.250%   2.430   01/15/24   943,605 
 2,069,600   i  First Eagle Holdings, Inc  LIBOR 1 M + 2.500%   2.808   02/02/27   1,991,555 
 1,985,750   i  Gopher Resource LLC  LIBOR 3 M + 3.250%   4.250   03/06/25   1,881,498 
 812,250   i  Talen Energy Supply LLC  LIBOR 1 M + 3.750%   3.928   06/26/26   791,944 
 917,587   i  Vistra Operations Co LLC  LIBOR 1 M + 1.750%   1.928   12/31/25   884,160 
        TOTAL UTILITIES              7,470,312 
                         
        TOTAL BANK LOAN OBLIGATIONS              124,724,012 
        (Cost $131,535,495)                
                         
BONDS - 94.6%                
                         
CORPORATE BONDS - 42.1%                
                         
AUTOMOBILES & COMPONENTS - 0.4%                
 200,000   g  Adient US LLC      9.000   04/15/25   215,440 
 450,000   g  Dana Financing Luxembourg SARL      6.500   06/01/26   465,750 
 225,000      Dana, Inc      5.375   11/15/27   223,312 
 225,000      Dana, Inc      5.625   06/15/28   223,355 
 750,000      Ford Motor Co      8.500   04/21/23   793,125 
 775,000      Ford Motor Co      9.000   04/22/25   837,969 
 4,900,000   g  Gates Global LLC      6.250   01/15/26   4,853,009 
 5,550,000      General Motors Co      6.125   10/01/25   6,237,117 
 1,400,000      General Motors Co      5.000   10/01/28   1,486,752 
 1,700,000      General Motors Co      6.600   04/01/36   1,848,383 
 5,050,000      General Motors Co      5.200   04/01/45   4,883,732 
 475,000      General Motors Co      6.750   04/01/46   517,709 
 2,750,000   g  Hyundai Capital America      3.000   02/10/27   2,715,623 
 1,000,000   g,o  IHO Verwaltungs GmbH      6.375   05/15/29   1,015,938 
154

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,750,000      Magna International, Inc      3.625%  06/15/24  $1,904,602 
        TOTAL AUTOMOBILES & COMPONENTS           28,221,816 
                         
BANKS - 8.3%
 2,000,000   g,h  Akbank T.A.S.      6.800   02/06/26   1,999,800 
 1,900,000   g  Akbank TAS      7.200   03/16/27   1,823,750 
 4,100,000   g,i  Australia & New Zealand Banking Group Ltd  DGS5 + 1.288%   2.950   07/22/30   4,182,971 
 2,000,000   g  Banco de Bogota S.A.      4.375   08/03/27   2,028,520 
 2,100,000   g  Banco de Credito del Peru      2.700   01/11/25   2,104,200 
 3,000,000   g  Banco del Estado de Chile      2.668   01/08/21   3,015,026 
 2,375,000   g  Banco del Estado de Chile      2.704   01/09/25   2,440,313 
 2,000,000   g  Banco Internacional del Peru SAA Interbank      3.375   01/18/23   2,029,420 
 3,300,000   g,h,i  Banco Internacional del Peru SAA Interbank  DGS1 + 3.711%   4.000   07/08/30   3,300,000 
 2,150,000   g  Banco Santander Mexico S.A. Institucion de Banca Multiple Grupo Financiero Santand      5.375   04/17/25   2,352,960 
 1,000,000      Banco Santander S.A.      2.746   05/28/25   1,035,820 
 4,200,000      Banco Santander S.A.      3.800   02/23/28   4,557,698 
 1,700,000      Bancolombia S.A.      3.000   01/29/25   1,666,170 
 1,325,000   i  Bancolombia S.A.  DGS5 + 2.944%   4.625   12/18/29   1,248,813 
 3,000,000   g,i  Bank Leumi Le-Israel BM  DGS5 + 1.631%   3.275   01/29/31   2,914,284 
 10,000,000      Bank of America Corp      3.550   03/05/24   10,685,429 
 10,000,000      Bank of America Corp      4.000   01/22/25   11,036,545 
 2,450,000      Bank of America Corp      3.875   08/01/25   2,773,968 
 20,300,000      Bank of America Corp      2.456   10/22/25   21,356,149 
 1,000,000      Bank of America Corp      4.450   03/03/26   1,148,205 
 7,100,000      Bank of America Corp      1.319   06/19/26   7,116,786 
 5,000,000      Bank of America Corp      4.250   10/22/26   5,731,612 
 12,395,000      Bank of America Corp      3.559   04/23/27   13,833,825 
 6,800,000      Bank of America Corp      3.248   10/21/27   7,499,542 
 3,450,000      Bank of America Corp      3.824   01/20/28   3,923,694 
 6,965,000      Bank of America Corp      3.419   12/20/28   7,756,500 
 925,000      Bank of America Corp      2.884   10/22/30   1,000,685 
 26,650,000      Bank of America Corp      2.496   02/13/31   27,934,223 
 5,000,000      Bank of America Corp      4.083   03/20/51   6,239,022 
 4,000,000      Bank of America Corp      6.100   N/A‡   4,220,000 
 2,100,000      Barclays plc      4.338   05/16/24   2,261,662 
 7,000,000      Barclays plc      3.932   05/07/25   7,562,580 
 2,600,000   g  BPCE S.A.      4.625   07/11/24   2,835,750 
 8,670,000   g  Canadian Imperial Bank of Commerce      3.150   06/27/21   8,908,447 
 5,750,000      Citigroup, Inc      3.875   03/26/25   6,262,973 
 8,000,000      Citigroup, Inc      3.352   04/24/25   8,643,669 
 6,950,000      Citigroup, Inc      3.106   04/08/26   7,451,476 
 4,025,000      Citigroup, Inc      3.200   10/21/26   4,414,124 
 2,200,000      Citigroup, Inc      4.300   11/20/26   2,497,040 
 9,250,000      Citigroup, Inc      4.450   09/29/27   10,541,264 
 32,075,000      Citigroup, Inc      2.666   01/29/31   33,286,105 
 5,550,000      Citigroup, Inc      4.412   03/31/31   6,563,918 
 5,000,000      Citigroup, Inc      5.000   N/A‡   4,706,525 
 2,225,000      Citizens Bank NA      2.650   05/26/22   2,299,426 
 375,000      Cooperatieve Rabobank UA      3.950   11/09/22   396,775 
 2,250,000   g  Cooperatieve Rabobank UA      2.625   07/22/24   2,389,422 
 4,775,000      Cooperatieve Rabobank UA      3.750   07/21/26   5,248,871 
 2,350,000   g  Credicorp Ltd      2.750   06/17/25   2,338,603 
155

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$7,475,000   g  Credit Agricole S.A.      3.250%  10/04/24  $8,026,413 
 5,200,000   g  Credit Agricole S.A.      1.907   06/16/26   5,271,496 
 315,000   g  Danske Bank AS      5.375   01/12/24   350,539 
 1,525,000   g,i  DBS Group Holdings Ltd  USD ICE SWAP RATE 11:00 NY 5 + 1.590%   4.520   12/11/28   1,646,238 
 1,000,000      Discover Bank      3.200   08/09/21   1,022,230 
 4,200,000      Discover Bank      2.450   09/12/24   4,404,792 
 5,400,000      Discover Bank      3.450   07/27/26   5,838,038 
 2,275,000      Discover Bank      2.700   02/06/30   2,291,514 
 807,000      Fifth Third Bancorp      3.500   03/15/22   844,938 
 1,475,000      HSBC Holdings plc      3.033   11/22/23   1,541,057 
 1,625,000      HSBC Holdings plc      3.803   03/11/25   1,755,681 
 1,650,000      HSBC Holdings plc      2.633   11/07/25   1,710,987 
 625,000      HSBC Holdings plc      3.900   05/25/26   693,885 
 15,640,000      HSBC Holdings plc      4.292   09/12/26   17,397,601 
 750,000      HSBC Holdings plc      4.375   11/23/26   830,609 
 2,025,000      HSBC Holdings plc      4.041   03/13/28   2,237,730 
 2,275,000      HSBC Holdings plc      4.950   03/31/30   2,722,565 
 3,850,000      HSBC Holdings plc      3.973   05/22/30   4,272,935 
 590,000      HSBC Holdings plc      6.800   06/01/38   831,576 
 360,000      Huntington Bancshares, Inc      4.000   05/15/25   407,796 
 4,100,000      Huntington National Bank      2.500   08/07/22   4,255,336 
 2,075,000   g  ING Groep NV      4.625   01/06/26   2,431,143 
 400,000      ING Groep NV      3.950   03/29/27   460,279 
 3,000,000   g  Intercorp Financial Services, Inc      4.125   10/19/27   3,000,000 
 695,000      JPMorgan Chase & Co      3.875   09/10/24   770,562 
 10,000,000      JPMorgan Chase & Co      4.023   12/05/24   11,018,933 
 9,400,000      JPMorgan Chase & Co      2.301   10/15/25   9,846,729 
 1,450,000      JPMorgan Chase & Co      2.083   04/22/26   1,504,421 
 2,500,000      JPMorgan Chase & Co      3.200   06/15/26   2,774,887 
 13,000,000      JPMorgan Chase & Co      4.203   07/23/29   15,239,000 
 19,405,000      JPMorgan Chase & Co      3.702   05/06/30   22,286,366 
 18,950,000      JPMorgan Chase & Co      2.739   10/15/30   20,326,514 
 7,000,000      JPMorgan Chase & Co      4.493   03/24/31   8,551,521 
 11,950,000      JPMorgan Chase & Co      2.522   04/22/31   12,620,510 
 4,600,000      JPMorgan Chase & Co      2.956   05/13/31   4,891,542 
 700,000      JPMorgan Chase & Co      4.260   02/22/48   881,575 
 6,535,000      JPMorgan Chase & Co      5.000   N/A‡   6,285,396 
 7,200,000      Mitsubishi UFJ Financial Group, Inc      2.193   02/25/25   7,439,803 
 1,550,000      MUFG Americas Holdings Corp      3.500   06/18/22   1,627,294 
 1,800,000      PNC Bank NA      2.450   11/05/20   1,809,627 
 5,050,000      PNC Bank NA      2.700   10/22/29   5,381,651 
 1,500,000      PNC Financial Services Group, Inc      3.900   04/29/24   1,655,563 
 10,000,000   g  Royal Bank of Canada      3.350   10/22/21   10,372,997 
 5,100,000      Royal Bank of Canada      2.550   07/16/24   5,415,932 
 5,000,000      Royal Bank of Scotland Group plc      3.498   05/15/23   5,191,205 
 3,250,000   i  Royal Bank of Scotland Group plc  DGS1 + 2.550%   3.073   05/22/28   3,411,487 
 3,125,000      Santander Holdings USA, Inc      3.400   01/18/23   3,252,885 
 3,600,000   g  Skandinaviska Enskilda Banken AB      2.625   11/17/20   3,627,718 
 6,500,000      Sumitomo Mitsui Financial Group, Inc      2.696   07/16/24   6,885,905 
 3,350,000      Toronto-Dominion Bank      1.850   09/11/20   3,359,951 
 1,300,000   i  Toronto-Dominion Bank  USD SWAP SEMI 30/360 5 Y + 2.205%   3.625   09/15/31   1,451,750 
156

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,675,000      Truist Bank      3.525%  10/26/21  $1,690,946 
 570,000      Truist Bank      2.450   08/01/22   590,291 
 1,075,000      Truist Bank      2.750   05/01/23   1,133,980 
 10,000,000      Truist Bank      3.689   08/02/24   10,835,206 
 2,250,000      Truist Bank      2.150   12/06/24   2,365,580 
 5,000,000   i  Truist Financial Corp  DGS5 + 4.605%   4.950   N/A‡   5,112,500 
 1,500,000   g  Turkiye Garanti Bankasi AS.      6.125   05/24/27   1,398,300 
 1,400,000   g,i  United Overseas Bank Ltd  DGS5 + 1.500%   3.750   04/15/29   1,480,013 
 9,100,000      Wells Fargo Bank NA      3.325   07/23/21   9,114,816 
 17,400,000      Wells Fargo Bank NA      2.082   09/09/22   17,680,724 
 3,875,000   i  Westpac Banking Corp  DGS5 + 2.000%   4.110   07/24/34   4,277,128 
        TOTAL BANKS              595,371,146 
                         
CAPITAL GOODS - 1.1%                
 1,750,000   g  Adaro Indonesia PT      4.250   10/31/24   1,651,562 
 2,125,000   g  BAE Systems plc      3.400   04/15/30   2,317,487 
 500,000   g  Beacon Escrow Corp      4.875   11/01/25   446,250 
 200,000   g  Beacon Roofing Supply, Inc      4.500   11/15/26   196,684 
 2,000,000   g  BOC Aviation Ltd      3.000   09/11/29   1,971,000 
 225,000   g  Cloud Crane LLC      10.125   08/01/24   221,276 
 232,000      General Electric Co      6.875   01/10/39   285,143 
 1,250,000   g  Gold Fields Orogen Holdings BVI Ltd      6.125   05/15/29   1,426,625 
 200,000      Howmet Aerospace, Inc      6.875   05/01/25   217,224 
 500,000      Ingersoll-Rand Global Holding Co Ltd      3.750   08/21/28   554,615 
 6,655,000      Ingersoll-Rand Luxembourg Finance S.A.      3.800   03/21/29   7,529,486 
 7,000,000      John Deere Capital Corp      3.650   10/12/23   7,698,918 
 640,000      John Deere Capital Corp      2.650   06/24/24   688,057 
 1,100,000      L3Harris Technologies, Inc      3.850   06/15/23   1,195,975 
 2,550,000      L3Harris Technologies, Inc      2.900   12/15/29   2,745,371 
 830,000      Lockheed Martin Corp      2.500   11/23/20   835,630 
 850,000      Lockheed Martin Corp      1.850   06/15/30   871,036 
 1,100,000      Lockheed Martin Corp      2.800   06/15/50   1,160,255 
 2,503,000   g  Molex Electronic Technologies LLC      3.900   04/15/25   2,608,066 
 2,800,000   g  NBM US Holdings, Inc      6.625   08/06/29   2,841,160 
 5,775,000      Northrop Grumman Corp      3.250   01/15/28   6,452,193 
 10,825,000      Parker-Hannifin Corp      3.250   06/14/29   11,958,125 
 3,300,000      Raytheon Technologies Corp      2.250   07/01/30   3,442,578 
 2,500,000      Roper Technologies, Inc      3.800   12/15/26   2,855,187 
 850,000      Roper Technologies, Inc      4.200   09/15/28   995,898 
 1,000,000      Roper Technologies, Inc      2.950   09/15/29   1,092,074 
 250,000      Trimble, Inc      4.900   06/15/28   286,915 
 248,000      United Technologies Corp      3.650   08/16/23   268,306 
 6,975,000      United Technologies Corp      4.125   11/16/28   8,219,774 
 5,000,000      United Technologies Corp      4.500   06/01/42   6,191,100 
 575,000   g  WESCO Distribution, Inc      7.125   06/15/25   606,453 
 425,000   g  WESCO Distribution, Inc      7.250   06/15/28   448,192 
 500,000      Xylem, Inc      2.250   01/30/31   503,012 
        TOTAL CAPITAL GOODS              80,781,627 
                         
COMMERCIAL & PROFESSIONAL SERVICES - 0.6%                
 500,000      ADT Corp      4.125   06/15/23   501,250 
 1,000,000      AECOM      5.125   03/15/27   1,075,000 
 325,000   g  ASGN, Inc      4.625   05/15/28   317,401 
157

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$2,033,155   g  British Airways      3.800%  09/20/31  $1,931,658 
 150,000   g  GFL Environmental, Inc      4.250   06/01/25   151,312 
 125,000   g  GFL Environmental, Inc      5.125   12/15/26   129,375 
 850,000      IHS Markit Ltd      4.125   08/01/23   929,135 
 1,375,000      IHS Markit Ltd      4.250   05/01/29   1,573,151 
 1,500,000   g,i  Nakama Re Ltd  LIBOR 6 M + 2.200%   2.200   10/13/21   1,492,500 
 2,125,000   g  Prime Security Services Borrower LLC      5.750   04/15/26   2,202,031 
 705,000   g  Prime Security Services Borrower LLC      6.250   01/15/28   664,040 
 3,400,000      Republic Services, Inc      3.550   06/01/22   3,571,950 
 2,225,000      Republic Services, Inc      2.900   07/01/26   2,430,560 
 100,000   g  Ritchie Bros Auctioneers, Inc      5.375   01/15/25   102,875 
 650,000      United Rentals North America, Inc      5.500   07/15/25   667,063 
 1,000,000      United Rentals North America, Inc      5.875   09/15/26   1,048,000 
 880,000      Verisk Analytics, Inc      4.125   03/15/29   1,027,973 
 525,000      Verisk Analytics, Inc      3.625   05/15/50   594,724 
 580,000      Visa, Inc      3.150   12/14/25   647,069 
 4,725,000      Visa, Inc      2.050   04/15/30   4,952,789 
 900,000      Visa, Inc      2.700   04/15/40   964,168 
 1,800,000      Waste Management, Inc      2.900   09/15/22   1,881,220 
 1,550,000      Waste Management, Inc      2.950   06/15/24   1,586,786 
 10,700,000      Waste Management, Inc      3.450   06/15/29   11,071,776 
 550,000      Waste Management, Inc      4.100   03/01/45   657,476 
 1,475,000      Waste Management, Inc      4.150   07/15/49   1,848,683 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES           44,019,965 
                         
CONSUMER DURABLES & APPAREL - 0.0%                
 750,000      Leggett & Platt, Inc      4.400   03/15/29   806,809 
 800,000      Lennar Corp      4.500   04/30/24   831,832 
 550,000      Newell Brands, Inc      4.875   06/01/25   576,004 
        TOTAL CONSUMER DURABLES & APPAREL           2,214,645 
                         
CONSUMER SERVICES - 0.5%                
 16,500,000      Anheuser-Busch Cos LLC      3.650   02/01/26   18,527,037 
 5,500,000      Anheuser-Busch Cos LLC      4.900   02/01/46   6,727,221 
 200,000      Boyd Gaming Corp      6.375   04/01/26   190,000 
 540,000      Boyd Gaming Corp      6.000   08/15/26   502,200 
 1,100,000   g  Cedar Fair LP      5.500   05/01/25   1,105,500 
 125,000   g  Hilton Domestic Operating Co, Inc      5.375   05/01/25   124,531 
 125,000   g  Hilton Domestic Operating Co, Inc      5.750   05/01/28   126,250 
 540,000   g  International Game Technology plc      6.250   01/15/27   550,800 
 950,000   g  MGM China Holdings Ltd      5.250   06/18/25   969,000 
 725,000   g  Sands China Ltd      3.800   01/08/26   744,945 
 1,400,000      Sands China Ltd      5.400   08/08/28   1,545,292 
 1,250,000   g  Wynn Macau Ltd      5.500   01/15/26   1,234,738 
 100,000   g  Yum! Brands, Inc      7.750   04/01/25   107,875 
        TOTAL CONSUMER SERVICES              32,455,389 
                         
DIVERSIFIED FINANCIALS - 4.0%                
 600,000      AerCap Ireland Capital DAC      5.000   10/01/21   606,783 
 4,100,000      AerCap Ireland Capital DAC      3.650   07/21/27   3,627,279 
 1,775,000      American Express Co      2.500   08/01/22   1,841,817 
 710,000      American Express Co      2.650   12/02/22   743,683 
 1,250,000      American Express Co      3.700   08/03/23   1,360,300 
 2,000,000      American Express Credit Corp      3.300   05/03/27   2,272,040 
158

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,700,000      Ameriprise Financial, Inc      3.000%  03/22/22  $1,769,071 
 1,750,000      Australia & New Zealand Banking Group Ltd      2.625   05/19/22   1,823,402 
 2,000,000   g  Banco BTG Pactual S.A.      4.500   01/10/25   1,959,400 
 3,750,000   i  Bank of Montreal  USD SWAP SEMI 30/360 5 Y + 1.432%   3.803   12/15/32   4,036,162 
 455,000   g  BBVA Bancomer S.A.      5.350   11/12/29   443,625 
 2,850,000   g,i  BBVA Bancomer S.A.  DGS5 + 2.650%   5.125   01/18/33   2,652,466 
 1,740,000      Berkshire Hathaway, Inc      3.125   03/15/26   1,949,258 
 5,550,000   g  BNP Paribas S.A.      2.819   11/19/25   5,812,446 
 1,625,000   g  BNP Paribas S.A.      2.219   06/09/26   1,660,168 
 3,650,000   g  BNP Paribas S.A.      3.052   01/13/31   3,839,594 
 7,868,000      Capital One Bank USA NA      3.375   02/15/23   8,284,361 
 2,490,000      Capital One Financial Corp      3.750   03/09/27   2,749,348 
 1,900,000   g  Comcel Trust      6.875   02/06/24   1,943,073 
 2,500,000   g  Credit Suisse Group AG.      2.997   12/14/23   2,602,209 
 5,750,000   g  Credit Suisse Group AG.      2.193   06/05/26   5,821,858 
 2,475,000   g  Credit Suisse Group AG.      4.282   01/09/28   2,771,566 
 3,950,000      Credit Suisse Group Funding Guernsey Ltd      3.800   06/09/23   4,253,360 
 1,650,000      Credit Suisse Group Funding Guernsey Ltd      3.750   03/26/25   1,818,584 
 545,000      Discover Financial Services      5.200   04/27/22   581,774 
 2,075,000      Ford Motor Credit Co LLC      3.096   05/04/23   1,966,478 
 5,000,000      Ford Motor Credit Co LLC      3.664   09/08/24   4,713,550 
 5,640,000      GE Capital International Funding Co      2.342   11/15/20   5,676,530 
 7,700,000      GE Capital International Funding Co      3.373   11/15/25   8,079,393 
 11,705,000      GE Capital International Funding Co      4.418   11/15/35   11,883,456 
 2,650,000      General Motors Financial Co, Inc      2.750   06/20/25   2,611,488 
 8,625,000      General Motors Financial Co, Inc      5.650   01/17/29   9,608,211 
 1,280,000      Goldman Sachs Group, Inc      5.750   01/24/22   1,380,956 
 5,000,000      Goldman Sachs Group, Inc      3.625   02/20/24   5,436,772 
 4,650,000      Goldman Sachs Group, Inc      3.500   01/23/25   5,062,252 
 13,900,000      Goldman Sachs Group, Inc      3.691   06/05/28   15,568,181 
 9,300,000      Goldman Sachs Group, Inc      2.600   02/07/30   9,708,763 
 360,000      Goldman Sachs Group, Inc      6.750   10/01/37   519,102 
 1,900,000      Goldman Sachs Group, Inc      4.017   10/31/38   2,219,741 
 600,000      Goldman Sachs Group, Inc      4.800   07/08/44   782,171 
 1,675,000   g  Grupo Aval Ltd      4.375   02/04/30   1,599,625 
 500,000      Icahn Enterprises LP      4.750   09/15/24   472,500 
 925,000      Icahn Enterprises LP      5.250   05/15/27   892,625 
 2,875,000   g  ICICI Bank Ltd      3.800   12/14/27   2,861,840 
 6,775,000   g,i  ING Groep NV  DGS1 + 1.100%   1.400   07/01/26   6,790,811 
 1,900,000      International Lease Finance Corp      5.875   08/15/22   1,998,949 
 500,000   g  Jefferies Finance LLC      6.250   06/03/26   466,250 
 475,000      Legg Mason, Inc      3.950   07/15/24   511,135 
 2,400,000      Morgan Stanley      3.125   01/23/23   2,544,733 
 13,395,000      Morgan Stanley      2.720   07/22/25   14,223,014 
 1,040,000      Morgan Stanley      4.000   07/23/25   1,179,140 
 2,700,000      Morgan Stanley      2.188   04/28/26   2,808,029 
 14,325,000      Morgan Stanley      3.125   07/27/26   15,803,792 
 100,000      Morgan Stanley      3.625   01/20/27   112,885 
 685,000      Morgan Stanley      3.950   04/23/27   770,997 
 16,500,000      Morgan Stanley      2.699   01/22/31   17,525,277 
 2,475,000   g  Power Finance Corp Ltd      3.950   04/23/30   2,339,675 
 775,000   g  Quicken Loans, Inc      5.250   01/15/28   806,000 
 1,125,000   g  REC Ltd      4.750   05/19/23   1,154,136 
159

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$7,400,000      Shire Acquisitions Investments Ireland DAC      3.200%  09/23/26  $8,208,128 
 550,000      Springleaf Finance Corp      5.375   11/15/29   517,000 
 550,000      State Street Corp      3.300   12/16/24   612,519 
 1,100,000   g,i  Swiss Re Finance Luxembourg SA  DGS5 + 3.582%   5.000   04/02/49   1,229,926 
 4,800,000      Synchrony Financial      4.250   08/15/24   5,048,088 
 5,550,000      Toronto-Dominion Bank      1.150   06/12/25   5,617,606 
 1,050,000   g  UBS AG.      2.450   12/01/20   1,056,722 
 5,075,000   g  UBS Group AG.      2.859   08/15/23   5,256,693 
 3,050,000   g  UBS Group AG.      3.126   08/13/30   3,294,313 
 3,650,000      Wells Fargo & Co      3.750   01/24/24   3,988,166 
 3,425,000      Wells Fargo & Co      3.550   09/29/25   3,824,816 
 2,500,000      Wells Fargo & Co      3.000   10/23/26   2,726,618 
 10,475,000      Wells Fargo & Co      2.393   06/02/28   10,820,962 
 6,050,000      Wells Fargo & Co      2.879   10/30/30   6,465,540 
 3,000,000      Wells Fargo & Co      5.875   N/A‡   3,118,110 
        TOTAL DIVERSIFIED FINANCIALS              289,087,291 
                         
ENERGY - 3.3%                
 1,450,000   g  Abu Dhabi Crude Oil Pipeline LLC      4.600   11/02/47   1,718,639 
 1,075,000      AmeriGas Partners LP      5.875   08/20/26   1,134,125 
 335,000      BP Capital Markets plc      2.520   09/19/22   347,216 
 565,000      Chevron Corp      2.355   12/05/22   587,664 
 5,550,000      Chevron Corp      1.554   05/11/25   5,701,080 
 2,525,000      Chevron Corp      2.236   05/11/30   2,643,127 
 1,125,000      Crestwood Midstream Partners LP      5.750   04/01/25   971,741 
 1,500,000   g  Denbury Resources, Inc      7.750   02/15/24   570,000 
 5,075,000      Diamondback Energy, Inc      2.875   12/01/24   5,083,384 
 2,000,000      Ecopetrol S.A.      5.375   06/26/26   2,094,760 
 1,550,000      Ecopetrol S.A.      6.875   04/29/30   1,784,050 
 1,850,000      Ecopetrol S.A.      5.875   05/28/45   1,936,117 
 500,000   g  Empresa Nacional del Petroleo      3.750   08/05/26   516,073 
 4,175,000      Enbridge, Inc      3.125   11/15/29   4,375,021 
 2,300,000      Energy Transfer Operating LP      2.900   05/15/25   2,355,136 
 4,775,000      Energy Transfer Operating LP      4.750   01/15/26   5,214,882 
 8,000,000      Energy Transfer Operating LP      5.250   04/15/29   8,730,186 
 5,250,000      Energy Transfer Operating LP      3.750   05/15/30   5,187,757 
 4,100,000      Energy Transfer Operating LP      6.250   04/15/49   4,345,049 
 5,625,000      Energy Transfer Operating LP      5.000   05/15/50   5,314,587 
 1,250,000      Enterprise Products Operating LLC      3.700   02/15/26   1,404,753 
 2,700,000      Enterprise Products Operating LLC      3.125   07/31/29   2,889,446 
 350,000      Enterprise Products Operating LLC      2.800   01/31/30   366,987 
 3,000,000      Enterprise Products Operating LLC      4.900   05/15/46   3,473,643 
 1,425,000      Enterprise Products Operating LLC      4.250   02/15/48   1,550,005 
 2,200,000      Enterprise Products Operating LLC      4.800   02/01/49   2,604,461 
 1,800,000      Enterprise Products Operating LLC      4.200   01/31/50   1,991,611 
 2,625,000      Enterprise Products Operating LLC      3.950   01/31/60   2,714,076 
 750,000   g  EQM Midstream Partners LP      6.000   07/01/25   757,500 
 1,100,000      Genesis Energy LP      6.500   10/01/25   940,500 
 3,000,000   g  Geopark Ltd      5.500   01/17/27   2,580,030 
 1,200,000   g  KazMunayGas National Co JSC      5.375   04/24/30   1,356,098 
 1,250,000      Kinder Morgan Energy Partners LP      5.400   09/01/44   1,470,381 
 535,000      Kinder Morgan, Inc      5.300   12/01/34   622,205 
 5,125,000      Magellan Midstream Partners LP      3.250   06/01/30   5,428,693 
 7,300,000      Marathon Oil Corp      4.400   07/15/27   7,164,158 
160

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER     RATE  MATURITY
DATE
  VALUE 
$11,590,000      Marathon Petroleum Corp      3.800%  04/01/28  $12,284,351 
 1,000,000      Marathon Petroleum Corp      4.750   09/15/44   1,044,064 
 90,000      MPLX LP      6.375   05/01/24   92,927 
 550,000      MPLX LP      5.250   01/15/25   571,906 
 270,000      MPLX LP      4.875   06/01/25   301,246 
 5,400,000      MPLX LP      4.000   03/15/28   5,689,409 
 5,925,000      MPLX LP      4.500   04/15/38   5,922,967 
 2,175,000      MPLX LP      4.700   04/15/48   2,229,822 
 642,000      Murphy Oil Corp      5.875   12/01/27   564,960 
 200,000      Murphy Oil USA, Inc      5.625   05/01/27   206,500 
 1,000,000      NAK Naftogaz Ukraine via Kondor Finance plc      7.375   07/19/22   992,487 
 300,000      Noble Energy, Inc      3.900   11/15/24   302,217 
 1,400,000      Noble Energy, Inc      3.850   01/15/28   1,352,364 
 1,250,000      Noble Energy, Inc      5.050   11/15/44   1,135,875 
 2,000,000      Occidental Petroleum Corp      3.500   06/15/25   1,690,000 
 475,000      Occidental Petroleum Corp      5.550   03/15/26   433,537 
 1,975,000      Occidental Petroleum Corp      4.300   08/15/39   1,362,177 
 2,300,000      ONEOK, Inc      4.000   07/13/27   2,334,106 
 4,880,000      ONEOK, Inc      4.550   07/15/28   5,115,518 
 4,750,000      ONEOK, Inc      4.350   03/15/29   4,996,059 
 5,277,000      ONEOK, Inc      3.400   09/01/29   5,131,759 
 2,750,000      ONEOK, Inc      3.100   03/15/30   2,630,456 
 2,750,000      ONEOK, Inc      4.500   03/15/50   2,559,016 
 850,000   g  Pertamina Persero PT      3.650   07/30/29   883,891 
 2,000,000   g  Pertamina Persero PT      5.625   05/20/43   2,308,094 
 2,075,000   g  Peru LNG Srl      5.375   03/22/30   1,631,469 
 1,167,000      Petrobras Global Finance BV      5.999   01/27/28   1,222,432 
 326,000   g  Petrobras Global Finance BV      5.093   01/15/30   324,696 
 500,000      Petrobras Global Finance BV      5.600   01/03/31   502,250 
 2,000,000      Petrobras Global Finance BV      6.900   03/19/49   2,105,000 
 2,550,000      Petroleos Mexicanos      6.500   03/13/27   2,301,426 
 2,100,000      Petroleos Mexicanos      5.350   02/12/28   1,764,000 
 2,700,000   g  Petroleos Mexicanos      5.950   01/28/31   2,227,905 
 1,275,000   g  Petronas Capital Ltd      3.500   04/21/30   1,413,757 
 5,000,000      Phillips 66      2.150   12/15/30   4,838,814 
 5,000,000      Phillips 66 Partners LP      3.750   03/01/28   5,335,969 
 1,925,000      Phillips 66 Partners LP      3.150   12/15/29   1,970,397 
 775,000      Phillips 66 Partners LP      4.680   02/15/45   832,420 
 450,000      Regency Energy Partners LP      4.500   11/01/23   483,175 
 270,000      Sabine Pass Liquefaction LLC      5.875   06/30/26   317,250 
 3,125,000      Sabine Pass Liquefaction LLC      4.200   03/15/28   3,351,471 
 2,500,000   g  Sabine Pass Liquefaction LLC      4.500   05/15/30   2,760,445 
 1,325,000      Shell International Finance BV      2.875   05/10/26   1,451,003 
 1,750,000      Shell International Finance BV      3.125   11/07/49   1,839,083 
 625,000      SM Energy Co      6.625   01/15/27   306,250 
 800,000      Southwestern Energy Co      7.500   04/01/26   700,240 
 790,000   g  Stena AB      7.000   02/01/24   742,600 
 1,975,000      Sunoco Logistics Partners Operations LP      4.000   10/01/27   2,023,344 
 450,000      Sunoco Logistics Partners Operations LP      5.400   10/01/47   442,659 
 1,500,000      Sunoco LP      6.000   04/15/27   1,485,000 
 125,000      Targa Resources Partners LP      5.125   02/01/25   120,313 
 475,000      Targa Resources Partners LP      5.875   04/15/26   470,250 
 300,000      Targa Resources Partners LP      6.500   07/15/27   300,750 
 6,000,000   g  Thaioil Treasury Center Co Ltd      2.500   06/18/30   5,986,268 
161

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$5,550,000      Total Capital International S.A.   3.127%  05/29/50  $5,665,158 
 10,800,000      TransCanada PipeLines Ltd   4.250   05/15/28   12,423,485 
 208,750   g  Transocean Guardian Ltd   5.875   01/15/24   181,558 
 1,260,000      USA Compression Partners LP   6.875   04/01/26   1,217,475 
 500,000      USA Compression Partners LP   6.875   09/01/27   474,900 
 480,000      Vale Overseas Ltd   6.875   11/21/36   627,120 
 850,000      Williams Partners LP   3.750   06/15/27   906,661 
 2,100,000   g  YPF S.A.   6.950   07/21/27   1,480,521 
        TOTAL ENERGY           232,288,363 
                      
FOOD & STAPLES RETAILING - 0.9%             
 2,625,000      Costco Wholesale Corp   1.375   06/20/27   2,680,147 
 3,975,000      Costco Wholesale Corp   1.600   04/20/30   4,015,947 
 1,250,000      Costco Wholesale Corp   1.750   04/20/32   1,268,974 
 1,246,000      Ingles Markets, Inc   5.750   06/15/23   1,252,230 
 1,750,000      Kroger Co   3.700   08/01/27   1,998,379 
 3,000,000      Kroger Co   3.875   10/15/46   3,359,557 
 575,000      Kroger Co   4.450   02/01/47   696,439 
 730,000      SYSCO Corp   3.750   10/01/25   799,269 
 515,000      Walgreen Co   3.100   09/15/22   539,700 
 15,000,000      Walmart, Inc   3.400   06/26/23   16,291,144 
 11,550,000      Walmart, Inc   3.700   06/26/28   13,684,423 
 5,000,000      Walmart, Inc   3.250   07/08/29   5,808,875 
 6,900,000      Walmart, Inc   2.375   09/24/29   7,528,090 
 2,175,000      Walmart, Inc   3.950   06/28/38   2,767,439 
        TOTAL FOOD & STAPLES RETAILING           62,690,613 
                      
FOOD, BEVERAGE & TOBACCO - 1.5%             
 2,775,000      Altria Group, Inc   4.800   02/14/29   3,234,812 
 1,725,000      Altria Group, Inc   3.400   05/06/30   1,855,576 
 2,700,000      Altria Group, Inc   5.950   02/14/49   3,539,998 
 766,000      Anheuser-Busch InBev Finance, Inc   3.300   02/01/23   810,141 
 13,260,000      Anheuser-Busch InBev Worldwide, Inc   4.750   01/23/29   16,018,744 
 1,260,000      Anheuser-Busch InBev Worldwide, Inc   4.439   10/06/48   1,450,962 
 5,450,000      BAT Capital Corp   4.906   04/02/30   6,399,694 
 1,275,000   g  BRF S.A.   4.875   01/24/30   1,201,687 
 1,350,000      Coca-Cola Co   1.450   06/01/27   1,386,478 
 1,675,000      Coca-Cola Co   3.450   03/25/30   1,970,397 
 7,150,000      Coca-Cola Co   1.650   06/01/30   7,271,692 
 750,000      Constellation Brands, Inc   4.400   11/15/25   866,893 
 2,775,000      Constellation Brands, Inc   3.700   12/06/26   3,096,548 
 1,850,000      Constellation Brands, Inc   3.600   02/15/28   2,049,428 
 1,150,000      Constellation Brands, Inc   3.150   08/01/29   1,232,845 
 575,000      Constellation Brands, Inc   2.875   05/01/30   609,106 
 2,500,000   g  Cosan Ltd   5.500   09/20/29   2,368,750 
 2,750,000      Diageo Capital plc   2.125   10/24/24   2,891,981 
 2,320,000      Diageo Capital plc   1.375   09/29/25   2,360,277 
 4,075,000      Diageo Capital plc   2.375   10/24/29   4,349,319 
 1,950,000      Diageo Capital plc   2.000   04/29/30   2,017,609 
 1,875,000   g  Embotelladora Andina S.A.   3.950   01/21/50   1,875,937 
 5,000,000      General Mills, Inc   3.700   10/17/23   5,440,200 
 625,000      General Mills, Inc   2.875   04/15/30   679,484 
 2,000,000   g  Grupo Bimbo SAB de C.V.   4.700   11/10/47   2,207,020 
 800,000      JM Smucker Co   2.375   03/15/30   816,611 
162

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,225,000      JM Smucker Co   3.550%  03/15/50  $2,294,661 
 5,000,000      Kellogg Co   3.400   11/15/27   5,612,777 
 2,000,000   g  Kernel Holding S.A.   6.500   10/17/24   1,979,929 
 11,350,000      PepsiCo, Inc   1.625   05/01/30   11,572,086 
 1,100,000      PepsiCo, Inc   3.450   10/06/46   1,269,875 
 3,200,000      Philip Morris International, Inc   2.100   05/01/30   3,296,417 
 200,000      Philip Morris International, Inc   6.375   05/16/38   301,315 
 1,150,000      Tyson Foods, Inc   3.900   09/28/23   1,255,325 
 395,000      Tyson Foods, Inc   4.000   03/01/26   452,072 
 2,525,000      Tyson Foods, Inc   5.100   09/28/48   3,282,332 
        TOTAL FOOD, BEVERAGE & TOBACCO           109,318,978 
                      
HEALTH CARE EQUIPMENT & SERVICES - 1.6%             
 630,000      Anthem, Inc   3.125   05/15/22   659,906 
 4,250,000      Anthem, Inc   3.650   12/01/27   4,842,266 
 3,488,000      Becton Dickinson & Co   3.700   06/06/27   3,902,369 
 2,100,000      Boston Scientific Corp   4.000   03/01/29   2,402,382 
 400,000   g  Centene Corp   5.375   08/15/26   416,084 
 1,750,000      Centene Corp   4.250   12/15/27   1,805,843 
 1,800,000      Children’s Hospital Medic   4.268   05/15/44   2,225,107 
 2,700,000      Cigna Corp   2.400   03/15/30   2,801,221 
 2,550,000      Cigna Corp   3.200   03/15/40   2,700,338 
 750,000      Covidien International Finance S.A.   3.200   06/15/22   786,627 
 5,000,000      CVS Health Corp   3.700   03/09/23   5,372,469 
 8,850,000      CVS Health Corp   2.625   08/15/24   9,449,617 
 495,000      CVS Health Corp   3.875   07/20/25   555,884 
 5,425,000      CVS Health Corp   2.875   06/01/26   5,873,812 
 8,920,000      CVS Health Corp   4.300   03/25/28   10,428,301 
 11,250,000      CVS Health Corp   3.750   04/01/30   12,936,269 
 2,250,000      CVS Health Corp   4.780   03/25/38   2,795,030 
 4,750,000      CVS Health Corp   5.050   03/25/48   6,178,649 
 1,900,000      CVS Health Corp   4.250   04/01/50   2,285,373 
 1,370,000      Dartmouth-Hitchcock Health   4.178   08/01/48   1,485,934 
 1,800,000   g  DaVita, Inc   4.625   06/01/30   1,790,100 
 2,000,000      HCA, Inc   5.375   02/01/25   2,142,500 
 2,815,000      HCA, Inc   5.625   09/01/28   3,139,879 
 1,900,000      HCA, Inc   5.500   06/15/47   2,312,973 
 1,875,000      Humana, Inc   3.950   03/15/27   2,127,004 
 725,000   g  Molina Healthcare, Inc   4.375   06/15/28   726,813 
 6,900,000   g  SBA Tower Trust   2.836   01/15/25   7,113,992 
 200,000   g  Teleflex, Inc   4.250   06/01/28   205,000 
 450,000      Tenet Healthcare Corp   8.125   04/01/22   472,500 
 825,000      Tenet Healthcare Corp   4.625   07/15/24   808,442 
 225,000   g  Tenet Healthcare Corp   4.625   06/15/28   220,428 
 1,500,000      Thermo Fisher Scientific, Inc   4.133   03/25/25   1,713,256 
 2,640,000      Thermo Fisher Scientific, Inc   2.950   09/19/26   2,920,100 
 620,000      UnitedHealth Group, Inc   2.875   03/15/22   641,754 
 1,525,000      UnitedHealth Group, Inc   2.950   10/15/27   1,701,816 
 1,375,000      UnitedHealth Group, Inc   3.750   10/15/47   1,640,087 
 750,000      Zimmer Biomet Holdings, Inc   3.700   03/19/23   797,740 
 1,470,000      Zimmer Biomet Holdings, Inc   3.550   04/01/25   1,598,236 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES           111,976,101 
163

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
INSURANCE - 1.2%               
$285,000      Aetna, Inc      6.625%  06/15/36  $405,219 
 131,000      Aflac, Inc      6.450   08/15/40   184,071 
 1,025,000   g  AIA Group Ltd      3.200   03/11/25   1,093,250 
 1,700,000      Allstate Corp      3.850   08/10/49   2,036,387 
 975,000      American Financial Group, Inc      3.500   08/15/26   1,039,176 
 620,000      American International Group, Inc      3.750   07/10/25   686,117 
 2,400,000      American International Group, Inc      3.900   04/01/26   2,710,793 
 4,725,000      American International Group, Inc      4.200   04/01/28   5,375,853 
 5,660,000      Aon Corp      3.750   05/02/29   6,482,117 
 3,740,000      Aon plc      3.500   06/14/24   4,074,719 
 2,500,000   i  AXIS Specialty Finance LLC  DGS5 + 3.186%   4.900   01/15/40   2,343,750 
 1,150,000      Berkshire Hathaway Finance Corp      1.850   03/12/30   1,182,110 
 1,500,000      Berkshire Hathaway Finance Corp      4.250   01/15/49   1,921,699 
 3,900,000      Chubb INA Holdings, Inc      2.875   11/03/22   4,099,616 
 1,100,000      CNA Financial Corp      3.950   05/15/24   1,195,841 
 1,350,000      CNA Financial Corp      3.450   08/15/27   1,439,778 
 400,000      CNA Financial Corp      3.900   05/01/29   440,684 
 3,770,000   g,i  Cranberry RE Ltd  LIBOR 6 M + 1.980%   2.012   07/13/20   3,768,115 
 925,000   g,h  Equitable Financial Life Global Funding      1.400   07/07/25   926,880 
 2,300,000   g  Five Corners Funding Trust      4.419   11/15/23   2,561,369 
 3,700,000   g  Five Corners Funding Trust II      2.850   05/15/30   3,815,289 
 2,750,000      Hartford Financial Services Group, Inc      2.800   08/19/29   2,911,099 
 350,000      Hartford Financial Services Group, Inc      4.300   04/15/43   402,481 
 1,675,000      Hartford Financial Services Group, Inc      3.600   08/19/49   1,765,342 
 232,000   g  Liberty Mutual Group, Inc      4.250   06/15/23   251,815 
 818,000   g  Liberty Mutual Group, Inc      4.569   02/01/29   957,951 
 1,450,000   g  Liberty Mutual Group, Inc      3.951   10/15/50   1,531,489 
 1,400,000      Marsh & McLennan Cos, Inc      3.500   06/03/24   1,530,343 
 600,000      MetLife, Inc      3.000   03/01/25   657,939 
 1,775,000      MetLife, Inc      3.600   11/13/25   2,017,391 
 1,550,000   g  Metropolitan Life Global Funding I      2.950   04/09/30   1,698,201 
 300,000      Principal Financial Group, Inc      3.700   05/15/29   341,248 
 3,500,000      Principal Financial Group, Inc      2.125   06/15/30   3,504,961 
 940,000      Prudential Financial, Inc      3.500   05/15/24   1,040,826 
 2,000,000      Prudential Financial, Inc      3.905   12/07/47   2,272,767 
 1,190,000   g  Prudential Funding LLC      6.750   09/15/23   1,386,697 
 2,220,000      Reinsurance Group of America, Inc      3.900   05/15/29   2,418,561 
 525,000   g  Swiss Re Treasury US Corp      4.250   12/06/42   641,625 
 650,000      Travelers Cos, Inc      2.550   04/27/50   642,236 
 6,250,000   g,i  Vitality Re IX Ltd      1.722   01/10/22   5,937,500 
 2,200,000   g,i  Vitality Re X Ltd      1.879   01/10/23   2,090,000 
 650,000      Voya Financial, Inc      5.700   07/15/43   844,153 
 365,000      Willis North America, Inc      3.600   05/15/24   395,035 
 410,000      WR Berkley Corp      5.375   09/15/20   413,491 
        TOTAL INSURANCE              83,435,984 
                         
MATERIALS - 1.2%                
 925,000      Air Products and Chemicals, Inc      1.500   10/15/25   956,536 
 1,000,000      Air Products and Chemicals, Inc      2.050   05/15/30   1,050,803 
 100,000   g  Alcoa Nederland Holding BV      6.750   09/30/24   102,125 
 100,000   g  Alcoa Nederland Holding BV      7.000   09/30/26   102,500 
 275,000   g  Arconic Corp      6.000   05/15/25   282,906 
 170,000   g  Arconic Rolled Products Corp      6.125   02/15/28   169,957 
164

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$370,000      Bemis Co, Inc   3.100%  09/15/26  $390,636 
 925,000      Bemis Co, Inc   2.630   06/19/30   948,157 
 2,500,000   g  Celulosa Arauco y Constitucion S.A.   4.250   04/30/29   2,568,775 
 1,025,000   g  Celulosa Arauco y Constitucion S.A.   4.200   01/29/30   1,044,219 
 1,375,000   g  Cemex SAB de C.V.   7.375   06/05/27   1,397,000 
 2,325,000   g  Cemex SAB de C.V.   5.450   11/19/29   2,147,603 
 1,325,000   g  Cleveland-Cliffs, Inc   9.875   10/17/25   1,389,859 
 1,750,000   g  Corp Nacional del Cobre de Chile-CODELCO   3.625   08/01/27   1,877,645 
 2,000,000   g  Corp Nacional del Cobre de Chile-CODELCO   3.150   01/14/30   2,079,080 
 1,250,000   g  Corp Nacional del Cobre de Chile-CODELCO   4.375   02/05/49   1,420,912 
 1,000,000   g  Corp Nacional del Cobre de Chile-CODELCO   3.700   01/30/50   1,019,940 
 265,000      DowDuPont, Inc   4.493   11/15/25   305,069 
 1,140,000      DowDuPont, Inc   4.725   11/15/28   1,370,679 
 5,350,000      DuPont de Nemours, Inc   2.169   05/01/23   5,450,313 
 950,000   g  Enviva Partners LP   6.500   01/15/26   988,000 
 1,075,000   g  Industrias Penoles SAB de C.V.   4.150   09/12/29   1,115,313 
 1,275,000      International Paper Co   5.000   09/15/35   1,556,017 
 3,500,000      International Paper Co   5.150   05/15/46   4,389,925 
 350,000      International Paper Co   4.350   08/15/48   412,801 
 5,125,000   g  Inversiones CMPC S.A.   4.375   04/04/27   5,470,938 
 775,000   g  Inversiones CMPC S.A.   3.850   01/13/30   790,887 
 500,000   g  James Hardie International Finance DAC   4.750   01/15/25   508,750 
 675,000   g  James Hardie International Finance DAC   5.000   01/15/28   688,500 
 2,750,000      LyondellBasell Industries NV   6.000   11/15/21   2,903,288 
 2,700,000   g  Midwest Connector Capital Co LLC   3.900   04/01/24   2,836,940 
 2,700,000   g  Midwest Connector Capital Co LLC   4.625   04/01/29   2,909,850 
 1,600,000      Mosaic Co   4.875   11/15/41   1,572,424 
 2,000,000      Newmont Corp   2.250   10/01/30   2,026,408 
 5,305,000      Newmont Goldcorp Corp   3.625   06/09/21   5,415,026 
 2,000,000   g  Nova Chemicals Corp   4.875   06/01/24   1,865,000 
 1,725,000      Nutrien Ltd   3.375   03/15/25   1,880,346 
 4,900,000      Nutrien Ltd   2.950   05/13/30   5,192,303 
 1,440,000   g  OCI NV   6.625   04/15/23   1,447,200 
 2,000,000   g  OCP S.A.   4.500   10/22/25   2,080,136 
 720,000   g  Owens-Brockway Glass Container, Inc   5.875   08/15/23   743,400 
 480,000      Packaging Corp of America   3.650   09/15/24   523,615 
 375,000   g  PolyOne Corp   5.750   05/15/25   385,781 
 1,550,000   g  SABIC Capital II BV   4.000   10/10/23   1,650,770 
 4,200,000      Sherwin-Williams Co   2.300   05/15/30   4,282,282 
 1,500,000   g  Sociedad Quimica y Minera de Chile S.A.   4.250   05/07/29   1,627,500 
 1,000,000      Suzano Austria GmbH   6.000   01/15/29   1,078,760 
 1,325,000   g  Suzano Austria GmbH   7.000   03/16/47   1,455,857 
 500,000   g  Tronox Finance plc   5.750   10/01/25   462,500 
 500,000   g  Tronox, Inc   6.500   04/15/26   467,500 
 175,000   g  Univar Solutions USA, Inc   5.125   12/01/27   177,034 
 1,525,000      Vulcan Materials Co   3.500   06/01/30   1,656,030 
 900,000      WRKCo, Inc   4.900   03/15/29   1,073,980 
        TOTAL MATERIALS           87,709,775 
                      
MEDIA & ENTERTAINMENT - 2.6%             
 1,575,000   g  Cable Onda S.A.   4.500   01/30/30   1,595,270 
 875,000   g  CBS Radio, Inc   7.250   11/01/24   761,250 
 5,150,000      Charter Communications Operating LLC   3.750   02/15/28   5,613,034 
 5,660,000      Charter Communications Operating LLC   4.200   03/15/28   6,344,919 
165

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,400,000      Charter Communications Operating LLC   5.125%  07/01/49  $2,770,731 
 10,750,000      Charter Communications Operating LLC   4.800   03/01/50   12,184,105 
 3,400,000      Comcast Corp   3.700   04/15/24   3,773,067 
 10,100,000      Comcast Corp   3.950   10/15/25   11,574,073 
 10,300,000      Comcast Corp   2.350   01/15/27   11,005,428 
 2,700,000      Comcast Corp   3.150   02/15/28   3,014,531 
 12,000,000      Comcast Corp   4.150   10/15/28   14,436,520 
 8,625,000      Comcast Corp   1.950   01/15/31   8,784,299 
 4,525,000      Comcast Corp   3.200   07/15/36   5,029,778 
 1,000,000      Comcast Corp   3.900   03/01/38   1,187,055 
 7,500,000      Comcast Corp   4.700   10/15/48   10,065,384 
 11,475,000      Comcast Corp   3.450   02/01/50   13,006,137 
 5,875,000      Comcast Corp   2.800   01/15/51   6,004,360 
 1,500,000   g  CSC Holdings LLC   7.500   04/01/28   1,636,875 
 656,000      Discovery Communications LLC   2.950   03/20/23   689,184 
 3,730,000      Discovery Communications LLC   4.125   05/15/29   4,257,942 
 3,500,000      Discovery Communications LLC   5.200   09/20/47   4,070,484 
 1,000,000      DISH DBS Corp   7.750   07/01/26   1,060,110 
 125,000   g  EW Scripps Co   5.125   05/15/25   119,089 
 1,125,000   g  Gray Escrow, Inc   7.000   05/15/27   1,153,125 
 550,000   g  Gray Television, Inc   5.875   07/15/26   547,937 
 2,785,000      Grupo Televisa SAB   6.625   01/15/40   3,603,149 
 650,000   g  Lamar Media Corp   3.750   02/15/28   612,820 
 2,400,000   g  LUKOIL Securities BV   3.875   05/06/30   2,498,263 
 3,000,000   g  Medco Bell Pte Ltd   6.375   01/30/27   2,551,935 
 1,750,000   g  MEGlobal Canada ULC   5.000   05/18/25   1,883,350 
 1,175,000      NBC Universal Media LLC   2.875   01/15/23   1,254,757 
 885,000      NBC Universal Media LLC   6.400   04/30/40   1,336,826 
 125,000   g,h  Nielsen Finance LLC   5.000   04/15/22   124,650 
 1,575,000   g  Sirius XM Radio, Inc   4.125   07/01/30   1,553,674 
 1,250,000   g  TEGNA, Inc   4.625   03/15/28   1,150,000 
 1,075,000   g  Telefonica Celular del Paraguay S.A.   5.875   04/15/27   1,118,000 
 1,740,000   g  Terrier Media Buyer, Inc   8.875   12/15/27   1,668,225 
 250,000      Time Warner Cable LLC   5.875   11/15/40   307,900 
 5,125,000   g  Upjohn, Inc   2.700   06/22/30   5,265,486 
 1,250,000   g  Upjohn, Inc   3.850   06/22/40   1,340,600 
 1,100,000      ViacomCBS, Inc   2.900   01/15/27   1,154,523 
 800,000      ViacomCBS, Inc   3.375   02/15/28   849,992 
 1,770,000      ViacomCBS, Inc   4.375   03/15/43   1,850,256 
 200,000      ViacomCBS, Inc   5.850   09/01/43   236,450 
 4,500,000      Walt Disney Co   3.000   09/15/22   4,746,665 
 3,000,000      Walt Disney Co   3.700   03/23/27   3,440,269 
 110,000      Walt Disney Co   7.625   11/30/28   157,431 
 5,325,000      Walt Disney Co   2.000   09/01/29   5,473,637 
 9,750,000      Walt Disney Co   2.650   01/13/31   10,332,605 
 85,000      Walt Disney Co   6.550   03/15/33   125,344 
        TOTAL MEDIA & ENTERTAINMENT           185,321,494 
                      
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 1.9%             
 925,000      Abbott Laboratories   3.875   09/15/25   1,061,238 
 6,092,000      Abbott Laboratories   3.750   11/30/26   7,087,882 
 1,200,000      Abbott Laboratories   5.300   05/27/40   1,737,802 
 1,550,000      AbbVie, Inc   2.850   05/14/23   1,634,796 
166

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,900,000   g  AbbVie, Inc   3.800%  03/15/25  $3,233,607 
 11,400,000   g  AbbVie, Inc   2.950   11/21/26   12,474,060 
 7,050,000   g  AbbVie, Inc   3.200   11/21/29   7,840,295 
 6,500,000   g  AbbVie, Inc   4.050   11/21/39   7,538,746 
 2,072,000      AbbVie, Inc   4.400   11/06/42   2,498,086 
 1,360,000      AbbVie, Inc   4.450   05/14/46   1,650,731 
 8,775,000   g  AbbVie, Inc   4.250   11/21/49   10,518,696 
 1,775,000      AstraZeneca plc   3.125   06/12/27   1,976,549 
 325,000   g  Bausch Health Cos, Inc   5.000   01/30/28   305,984 
 595,000   g  Bristol-Myers Squibb Co   3.625   05/15/24   655,259 
 1,600,000   g  Bristol-Myers Squibb Co   2.900   07/26/24   1,730,860 
 900,000   g  Bristol-Myers Squibb Co   3.875   08/15/25   1,023,826 
 4,500,000   g  Bristol-Myers Squibb Co   3.450   11/15/27   5,178,889 
 19,950,000   g  Bristol-Myers Squibb Co   3.400   07/26/29   23,251,314 
 5,120,000   g  Bristol-Myers Squibb Co   4.250   10/26/49   6,798,002 
 635,000      Gilead Sciences, Inc   4.000   09/01/36   788,194 
 875,000      Gilead Sciences, Inc   4.150   03/01/47   1,114,076 
 100,000   g  Jaguar Holding Co II   4.625   06/15/25   101,770 
 125,000   g  Jaguar Holding Co II   5.000   06/15/28   127,969 
 1,875,000      Johnson & Johnson   2.450   03/01/26   2,052,889 
 1,325,000      Johnson & Johnson   2.900   01/15/28   1,490,885 
 1,250,000      Johnson & Johnson   3.400   01/15/38   1,476,206 
 9,325,000      Merck & Co, Inc   1.450   06/24/30   9,343,728 
 6,150,000      Merck & Co, Inc   2.450   06/24/50   6,172,208 
 4,075,000      Mylan, Inc   4.550   04/15/28   4,681,036 
 3,050,000      Novartis Capital Corp   3.000   11/20/25   3,385,738 
 4,925,000   h  Takeda Pharmaceutical Co Ltd   2.050   03/31/30   4,874,719 
 1,000,000   h  Takeda Pharmaceutical Co Ltd   3.025   07/09/40   1,007,625 
 3,000,000      Teva Pharmaceutical Finance Netherlands III BV   3.150   10/01/26   2,678,640 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   137,492,305 
                      
REAL ESTATE - 2.1%             
 5,450,000      Alexandria Real Estate Equities, Inc   3.450   04/30/25   6,066,582 
 450,000      Alexandria Real Estate Equities, Inc   3.950   01/15/27   504,442 
 675,000      Alexandria Real Estate Equities, Inc   3.950   01/15/28   769,887 
 2,775,000      Alexandria Real Estate Equities, Inc   4.900   12/15/30   3,455,474 
 1,450,000      American Tower Corp   3.000   06/15/23   1,546,353 
 2,700,000      American Tower Corp   2.950   01/15/25   2,935,385 
 600,000      American Tower Corp   3.375   10/15/26   667,331 
 10,000,000      American Tower Corp   2.750   01/15/27   10,737,915 
 1,200,000      American Tower Corp   3.600   01/15/28   1,339,765 
 5,800,000      American Tower Corp   3.800   08/15/29   6,590,588 
 6,950,000      American Tower Corp   2.900   01/15/30   7,416,260 
 1,975,000      Brandywine Operating Partnership LP   3.950   02/15/23   2,034,134 
 1,125,000      Brandywine Operating Partnership LP   4.100   10/01/24   1,171,793 
 2,225,000      Brixmor Operating Partnership LP   3.850   02/01/25   2,297,695 
 2,000,000      Camden Property Trust   4.250   01/15/24   2,187,106 
 750,000      Camden Property Trust   3.150   07/01/29   831,309 
 1,125,000      Camden Property Trust   2.800   05/15/30   1,215,322 
 980,000      Crown Castle International Corp   4.875   04/15/22   1,046,955 
 400,000      Crown Castle International Corp   3.650   09/01/27   445,517 
 1,275,000      Crown Castle International Corp   3.800   02/15/28   1,432,829 
 9,875,000      Crown Castle International Corp   2.250   01/15/31   9,946,282 
 2,375,000      Crown Castle International Corp   3.250   01/15/51   2,370,177 
167

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$3,300,000      Digital Realty Trust LP   2.750%  02/01/23  $3,458,681 
 1,950,000      Digital Realty Trust LP   3.700   08/15/27   2,224,185 
 425,000      Duke Realty LP   3.250   06/30/26   466,055 
 1,075,000      Duke Realty LP   4.000   09/15/28   1,261,443 
 1,600,000      Duke Realty LP   1.750   07/01/30   1,589,010 
 1,925,000      Equinix, Inc   2.150   07/15/30   1,901,573 
 850,000      Essex Portfolio LP   3.375   01/15/23   890,343 
 4,575,000      Essex Portfolio LP   3.000   01/15/30   4,976,800 
 325,000      Healthcare Realty Trust, Inc   3.750   04/15/23   338,353 
 1,675,000      Healthcare Realty Trust, Inc   3.875   05/01/25   1,779,335 
 3,000,000      Healthcare Realty Trust, Inc   3.625   01/15/28   3,159,019 
 900,000      Healthcare Realty Trust, Inc   2.400   03/15/30   856,067 
 675,000      Healthcare Trust of America Holdings LP   3.700   04/15/23   706,168 
 4,125,000      Healthcare Trust of America Holdings LP   3.500   08/01/26   4,456,601 
 5,525,000      Healthcare Trust of America Holdings LP   3.100   02/15/30   5,573,047 
 5,500,000      Highwoods Realty LP   3.875   03/01/27   5,809,508 
 1,025,000      Highwoods Realty LP   4.125   03/15/28   1,096,079 
 1,350,000      Highwoods Realty LP   4.200   04/15/29   1,450,454 
 6,510,000      Highwoods Realty LP   3.050   02/15/30   6,478,844 
 835,000      Hudson Pacific Properties LP   3.950   11/01/27   865,236 
 775,000      iStar, Inc   4.750   10/01/24   723,656 
 350,000   g  MGM Growth Properties Operating Partnership LP   4.625   06/15/25   343,028 
 1,200,000      Mid-America Apartments LP   4.300   10/15/23   1,317,409 
 1,200,000      Mid-America Apartments LP   3.750   06/15/24   1,299,325 
 1,050,000      Mid-America Apartments LP   4.000   11/15/25   1,166,337 
 2,150,000      Mid-America Apartments LP   3.600   06/01/27   2,385,324 
 7,350,000      Mid-America Apartments LP   2.750   03/15/30   7,772,421 
 1,075,000      National Retail Properties, Inc   3.300   04/15/23   1,119,475 
 625,000      National Retail Properties, Inc   4.000   11/15/25   684,330 
 1,850,000      National Retail Properties, Inc   3.600   12/15/26   1,946,763 
 1,150,000      ProLogis LP   2.250   04/15/30   1,210,647 
 425,000   g  Realogy Group LLC   7.625   06/15/25   423,937 
 600,000      Regency Centers Corp   3.750   11/15/22   624,943 
 1,100,000      Regency Centers LP   3.900   11/01/25   1,177,439 
 1,950,000      Regency Centers LP   3.600   02/01/27   2,075,251 
 4,650,000      Regency Centers LP   2.950   09/15/29   4,718,818 
 646,000      SITE Centers Corp   3.625   02/01/25   650,930 
 1,000,000      SITE Centers Corp   4.700   06/01/27   1,017,355 
 775,000   g  VICI Properties LP   3.500   02/15/25   728,500 
 400,000      Weingarten Realty Investors   3.375   10/15/22   408,247 
 1,876,000      Weingarten Realty Investors   3.500   04/15/23   1,925,620 
 475,000      Weingarten Realty Investors   4.450   01/15/24   502,992 
 1,025,000      Weingarten Realty Investors   3.850   06/01/25   1,057,283 
 700,000      Weingarten Realty Investors   3.250   08/15/26   698,466 
        TOTAL REAL ESTATE           152,324,398 
                      
RETAILING - 0.4%             
 1,100,000      AutoNation, Inc   3.800   11/15/27   1,137,693 
 90,000   g  Camelot Finance S.A.   4.500   11/01/26   89,775 
 2,175,000      Home Depot, Inc   2.000   04/01/21   2,200,512 
 520,000      Home Depot, Inc   2.625   06/01/22   542,803 
 300,000   g  L Brands, Inc   6.875   07/01/25   309,750 
 125,000   g  L Brands, Inc   9.375   07/01/25   125,156 
168

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$850,000   g  Lithia Motors, Inc   4.625%  12/15/27  $841,500 
 450,000   g  Macy’s, Inc   8.375   06/15/25   447,750 
 4,215,000      O’Reilly Automotive, Inc   3.550   03/15/26   4,771,412 
 2,175,000      O’Reilly Automotive, Inc   3.600   09/01/27   2,443,925 
 2,100,000      O’Reilly Automotive, Inc   4.200   04/01/30   2,458,640 
 715,000      Penske Automotive Group, Inc   5.500   05/15/26   713,213 
 500,000   g  PetSmart, Inc   7.125   03/15/23   493,040 
 500,000   g  PetSmart, Inc   5.875   06/01/25   500,937 
 1,250,000   g  PetSmart, Inc   8.875   06/01/25   1,249,950 
 2,200,000   g  Prosus NV   3.680   01/21/30   2,303,104 
 375,000      QVC, Inc   4.750   02/15/27   362,625 
 2,000,000   g  Staples, Inc   7.500   04/15/26   1,571,500 
 1,900,000      Target Corp   3.375   04/15/29   2,196,832 
 6,325,000      Target Corp   2.350   02/15/30   6,762,177 
 675,000      Target Corp   2.650   09/15/30   741,536 
        TOTAL RETAILING           32,263,830 
                      
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.5%             
 4,250,000   g  Broadcom, Inc   4.150   11/15/30   4,624,189 
 5,600,000      Intel Corp   2.875   05/11/24   6,066,527 
 1,500,000      Intel Corp   2.600   05/19/26   1,633,306 
 3,700,000      Intel Corp   3.750   03/25/27   4,306,942 
 260,000      Intel Corp   3.150   05/11/27   292,893 
 1,150,000      Intel Corp   3.734   12/08/47   1,385,212 
 1,350,000      Lam Research Corp   3.750   03/15/26   1,543,240 
 1,525,000      Lam Research Corp   4.000   03/15/29   1,811,893 
 5,575,000      Lam Research Corp   1.900   06/15/30   5,697,041 
 550,000      Lam Research Corp   2.875   06/15/50   568,354 
 2,250,000   g  NXP BV   4.875   03/01/24   2,512,879 
 2,650,000   g  NXP BV   3.875   06/18/26   2,965,143 
 1,200,000   g  NXP BV   3.400   05/01/30   1,291,260 
 1,100,000      Texas Instruments, Inc   2.625   05/15/24   1,181,576 
 1,100,000      Texas Instruments, Inc   4.150   05/15/48   1,422,099 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT           37,302,554 
                      
SOFTWARE & SERVICES - 1.4%             
 2,325,000      Activision Blizzard, Inc   2.300   09/15/21   2,369,773 
 2,675,000      Activision Blizzard, Inc   3.400   09/15/26   3,038,142 
 9,955,000      Adobe, Inc   2.300   02/01/30   10,748,706 
 1,275,000      Baidu, Inc   4.375   05/14/24   1,387,848 
 2,000,000      Fidelity National Information Services, Inc   3.000   08/15/26   2,216,007 
 2,365,000      Fidelity National Information Services, Inc   3.750   05/21/29   2,770,548 
 6,300,000      Fiserv, Inc   2.750   07/01/24   6,717,784 
 9,550,000      Fiserv, Inc   3.500   07/01/29   10,723,797 
 2,425,000      Global Payments, Inc   2.650   02/15/25   2,573,735 
 5,225,000      Global Payments, Inc   3.200   08/15/29   5,595,975 
 3,075,000      International Business Machines Corp   2.850   05/13/22   3,216,288 
 5,275,000      International Business Machines Corp   3.500   05/15/29   6,095,683 
 10,500,000      International Business Machines Corp   1.950   05/15/30   10,737,161 
 19,000,000      Microsoft Corp   2.400   08/08/26   20,742,352 
 754,000      Microsoft Corp   4.100   02/06/37   972,565 
 1,860,000      Microsoft Corp   3.700   08/08/46   2,332,896 
 446,000      Microsoft Corp   2.525   06/01/50   461,481 
 550,000   g  Open Text Holdings, Inc   4.125   02/15/30   540,375 
169

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER     RATE  MATURITY
DATE
  VALUE 
$175,000   g  Presidio Holdings, Inc      4.875%  02/01/27  $171,063 
 875,000      salesforce.com, Inc      3.700   04/11/28   1,020,796 
 1,825,000   h  Weibo Corp      3.375   07/08/30   1,812,900 
        TOTAL SOFTWARE & SERVICES              96,245,875 
                         
TECHNOLOGY HARDWARE & EQUIPMENT - 1.1%                
 3,450,000      Amphenol Corp      2.800   02/15/30   3,667,465 
 8,575,000      Apple, Inc      2.450   08/04/26   9,316,710 
 19,975,000      Apple, Inc      2.050   09/11/26   21,342,317 
 1,100,000      Apple, Inc      4.650   02/23/46   1,506,152 
 12,850,000      Broadcom Corp      3.875   01/15/27   13,891,650 
 10,000,000      Cisco Systems, Inc      1.850   09/20/21   10,178,033 
 725,000   g  CommScope, Inc      5.500   06/15/24   738,289 
 500,000   g  CommScope, Inc      6.000   06/15/25   482,850 
 675,000      Corning, Inc      4.375   11/15/57   778,876 
 3,375,000   g  Dell International LLC      4.420   06/15/21   3,469,036 
 4,450,000   g  Dell International LLC      5.300   10/01/29   4,926,340 
 2,390,000   g  Empresas Publicas de Medellin ESP      4.250   07/18/29   2,395,975 
 3,000,000      Tyco Electronics Group S.A.      3.500   02/03/22   3,119,205 
 525,000      Tyco Electronics Group S.A.      3.700   02/15/26   584,058 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           76,396,956 
                         
TELECOMMUNICATION SERVICES - 3.1%                
 360,000      AT&T, Inc      3.800   03/15/22   379,050 
 4,936,000      AT&T, Inc      3.000   06/30/22   5,154,910 
 7,190,000      AT&T, Inc      3.400   05/15/25   7,905,811 
 1,725,000      AT&T, Inc      3.600   07/15/25   1,915,842 
 1,000,000      AT&T, Inc      2.950   07/15/26   1,081,361 
 4,250,000      AT&T, Inc      3.800   02/15/27   4,785,868 
 10,000,000      AT&T, Inc      4.100   02/15/28   11,460,877 
 10,550,000      AT&T, Inc      4.350   03/01/29   12,298,322 
 8,200,000      AT&T, Inc      4.300   02/15/30   9,580,144 
 2,300,000      AT&T, Inc      4.500   05/15/35   2,728,553 
 6,000,000      AT&T, Inc      4.900   08/15/37   7,187,104 
 14,450,000      AT&T, Inc      4.500   03/09/48   16,956,346 
 13,900,000      AT&T, Inc      3.650   06/01/51   14,500,326 
 2,000,000   g  Bharti Airtel Ltd      4.375   06/10/25   2,063,992 
 450,000   g  C&W Senior Financing Designated Activity Co      7.500   10/15/26   460,125 
 2,000,000   g  C&W Senior Financing Designated Activity Co      6.875   09/15/27   1,985,000 
 630,000      Deutsche Telekom International Finance BV      8.750   06/15/30   981,263 
 1,325,000   g  Front Range BidCo, Inc      4.000   03/01/27   1,257,505 
 1,375,000   g  Globo Comunicacao e Participacoes S.A.      4.875   01/22/30   1,240,937 
 2,000,000   g  MTN Mauritius Investment Ltd      6.500   10/13/26   2,109,937 
 2,000,000   g  Network i2i Ltd      5.650   N/A‡   1,936,000 
 500,000      Orange S.A.      5.375   01/13/42   700,049 
 1,800,000   g  Oztel Holdings SPC Ltd      6.625   04/24/28   1,775,848 
 510,000      Rogers Communications, Inc      3.625   12/15/25   578,423 
 1,900,000      Rogers Communications, Inc      3.700   11/15/49   2,090,887 
 4,700,000      Telefonica Emisiones SAU      4.103   03/08/27   5,364,529 
 16,100,000   g  T-Mobile USA, Inc      3.875   04/15/30   17,944,577 
 9,500,000   g  T-Mobile USA, Inc      2.550   02/15/31   9,533,440 
 1,150,000   g  T-Mobile USA, Inc      4.500   04/15/50   1,354,643 
 206,000      Verizon Communications, Inc      3.376   02/15/25   228,614 
 950,000      Verizon Communications, Inc      4.125   03/16/27   1,119,858 
170

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$22,336,000      Verizon Communications, Inc   4.329%  09/21/28  $26,888,645 
 10,000,000      Verizon Communications, Inc   3.150   03/22/30   11,303,284 
 11,097,000      Verizon Communications, Inc   4.272   01/15/36   13,738,583 
 3,000,000      Verizon Communications, Inc   4.000   03/22/50   3,776,702 
 6,625,000      Vodafone Group plc   4.375   05/30/28   7,877,604 
 7,000,000      Vodafone Group plc   4.250   09/17/50   8,335,468 
        TOTAL TELECOMMUNICATION SERVICES           220,580,427 
                      
TRANSPORTATION - 1.0%             
 3,000,000   g  Adani Ports & Special Economic Zone Ltd   4.000   07/30/27   2,883,329 
 5,000,000      Boeing Co   2.950   02/01/30   4,882,766 
 1,825,000      Boeing Co   3.250   02/01/35   1,663,496 
 850,000      Boeing Co   3.750   02/01/50   767,368 
 3,825,000      Burlington Northern Santa Fe LLC   3.050   02/15/51   4,151,601 
 975,000      Canadian Pacific Railway Co   2.050   03/05/30   997,640 
 1,000,000      CSX Corp   2.600   11/01/26   1,087,625 
 625,000      CSX Corp   3.250   06/01/27   700,732 
 700,000      CSX Corp   3.800   03/01/28   807,535 
 9,715,000      CSX Corp   4.250   03/15/29   11,616,215 
 5,400,000      CSX Corp   2.400   02/15/30   5,703,551 
 4,000,000      CSX Corp   3.350   09/15/49   4,396,976 
 3,475,000      Delta Air Lines, Inc   2.900   10/28/24   2,818,278 
 775,000   g  Delta Air Lines, Inc   7.000   05/01/25   800,008 
 2,275,000      Delta Air Lines, Inc   3.750   10/28/29   1,820,000 
 1,000,000   g  DP World Ltd   5.625   09/25/48   1,090,000 
 12,225,000      FedEx Corp   3.100   08/05/29   13,046,110 
 1,100,000   g  Indian Railway Finance Corp Ltd   3.249   02/13/30   1,087,789 
 775,000   g  Lima Metro Line 2 Finance Ltd   4.350   04/05/36   825,762 
 1,243,000   g  Mexico City Airport Trust   4.250   10/31/26   1,171,527 
 700,000   g  Mileage Plus Holdings LLC   6.500   06/20/27   701,750 
 2,650,000   g  Pelabuhan Indonesia III Persero PT   4.500   05/02/23   2,765,937 
 5,200,000      Union Pacific Corp   3.950   09/10/28   6,172,728 
 2,175,000      Union Pacific Corp   3.839   03/20/60   2,554,737 
        TOTAL TRANSPORTATION           74,513,460 
                      
UTILITIES - 3.4%             
 1,965,125   g  Adani Transmission Ltd   4.250   05/21/36   1,878,997 
 1,000,000      AEP Transmission Co LLC   3.100   12/01/26   1,118,980 
 1,000,000      AEP Transmission Co LLC   4.000   12/01/46   1,200,290 
 725,000      Alabama Power Co   4.150   08/15/44   866,599 
 3,000,000      Alabama Power Co   3.450   10/01/49   3,329,856 
 4,600,000      Ameren Corp   3.650   02/15/26   5,143,505 
 1,800,000      Ameren Corp   3.500   01/15/31   2,012,123 
 1,650,000      American Water Capital Corp   3.000   12/01/26   1,769,805 
 1,025,000      American Water Capital Corp   2.800   05/01/30   1,114,452 
 1,400,000      American Water Capital Corp   4.000   12/01/46   1,687,681 
 2,275,000      American Water Capital Corp   3.750   09/01/47   2,641,415 
 675,000      American Water Capital Corp   3.450   05/01/50   758,370 
 375,000      Atmos Energy Corp   4.125   10/15/44   462,202 
 3,000,000      Avangrid, Inc   3.150   12/01/24   3,238,782 
 800,000   g  Azure Power Solar Energy Pvt Ltd   5.650   12/24/24   804,637 
 2,050,000      Baltimore Gas & Electric Co   3.750   08/15/47   2,376,959 
 2,750,000      Baltimore Gas & Electric Co   3.200   09/15/49   2,917,018 
 4,950,000      Berkshire Hathaway Energy Co   3.250   04/15/28   5,597,044 
171

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,075,000      Black Hills Corp   4.250%  11/30/23  $1,170,519 
 850,000      Black Hills Corp   3.150   01/15/27   893,144 
 159,000      CenterPoint Energy Resources Corp   4.500   01/15/21   160,827 
 660,000      CenterPoint Energy Resources Corp   6.250   02/01/37   871,140 
 1,125,000      CMS Energy Corp   3.600   11/15/25   1,224,411 
 395,000      Commonwealth Edison Co   5.900   03/15/36   560,010 
 6,750,000      Commonwealth Edison Co   3.000   03/01/50   7,114,904 
 2,100,000      Dominion Energy Gas Holdings LLC   2.500   11/15/24   2,213,870 
 1,550,000      Dominion Resources, Inc   2.000   08/15/21   1,572,542 
 7,575,000      DTE Electric Co   2.250   03/01/30   7,972,347 
 2,100,000      DTE Electric Co   2.950   03/01/50   2,195,215 
 3,050,000      Duke Energy Corp   1.800   09/01/21   3,089,867 
 7,575,000      Duke Energy Corp   2.650   09/01/26   8,212,633 
 3,125,000      Duke Energy Corp   3.750   09/01/46   3,538,777 
 1,782,959      Duke Energy Florida Project Finance LLC   1.731   09/01/22   1,784,349 
 650,000      Duke Energy Ohio, Inc   3.800   09/01/23   704,661 
 2,000,000      Enel Chile S.A.   4.875   06/12/28   2,230,000 
 4,994,000      Entergy Corp   4.000   07/15/22   5,300,707 
 3,075,000      Entergy Corp   2.950   09/01/26   3,393,208 
 3,600,000   g  Eskom Holdings SOC Ltd   5.750   01/26/21   3,430,707 
 900,000   g  Eskom Holdings SOC Ltd   8.450   08/10/28   838,866 
 3,000,000      Eversource Energy   3.450   01/15/50   3,199,093 
 1,225,000      Exelon Corp   4.050   04/15/30   1,414,182 
 2,975,000      Exelon Generation Co LLC   3.400   03/15/22   3,091,863 
 2,750,000      Florida Power & Light Co   2.850   04/01/25   3,007,688 
 2,700,000      Florida Power & Light Co   3.990   03/01/49   3,468,487 
 2,275,000      Florida Power & Light Co   3.150   10/01/49   2,585,725 
 675,000   g  Grupo Energia Bogota S.A. ESP   4.875   05/15/30   707,063 
 1,150,000      Indiana Michigan Power Co   3.750   07/01/47   1,300,827 
 2,000,000   g  Inkia Energy Ltd   5.875   11/09/27   1,975,000 
 555,000      Integrys Energy Group, Inc   4.170   11/01/20   561,394 
 4,000,000   g  Israel Electric Corp Ltd   4.250   08/14/28   4,521,716 
 2,200,000   g  Korea Hydro & Nuclear Power Co Ltd   3.750   07/25/23   2,381,304 
 4,030,000      LG&E and KU Energy LLC   3.750   11/15/20   4,045,206 
 7,275,000      MidAmerican Energy Co   3.650   04/15/29   8,680,705 
 2,175,000      MidAmerican Energy Co   3.650   08/01/48   2,575,100 
 1,325,000   g  Narragansett Electric Co   3.395   04/09/30   1,492,097 
 1,650,000      Nevada Power Co   2.400   05/01/30   1,753,686 
 1,150,000   g  Nexa Resources S.A.   6.500   01/18/28   1,164,950 
 300,000      NextEra Energy Capital Holdings, Inc   3.250   04/01/26   335,731 
 400,000      NextEra Energy Capital Holdings, Inc   2.750   11/01/29   431,184 
 5,750,000      NextEra Energy Capital Holdings, Inc   2.250   06/01/30   5,906,815 
 3,075,000      NiSource, Inc   3.490   05/15/27   3,476,838 
 5,350,000      NiSource, Inc   3.600   05/01/30   6,112,840 
 1,800,000      Northern States Power Co   2.900   03/01/50   1,967,653 
 3,175,000      Northern States Power Co   2.600   06/01/51   3,200,697 
 1,250,000      NRG Energy, Inc   5.750   01/15/28   1,318,750 
 2,000,000      NSTAR Electric Co   3.200   05/15/27   2,246,521 
 850,000      NSTAR Electric Co   3.950   04/01/30   1,019,255 
 2,175,000      Ohio Power Co   4.150   04/01/48   2,677,550 
 2,175,000      Ohio Power Co   4.000   06/01/49   2,635,670 
 150,000      Oncor Electric Delivery Co LLC   7.250   01/15/33   229,558 
 700,000      ONE Gas, Inc   3.610   02/01/24   765,895 
 1,375,000      PECO Energy Co   3.000   09/15/49   1,452,934 
172

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,000,000      PECO Energy Co   2.800%  06/15/50  $1,031,838 
 1,400,000   g  Perusahaan Listrik Negara PT   3.875   07/17/29   1,460,900 
 2,000,000   g  Perusahaan Listrik Negara PT   3.375   02/05/30   2,022,000 
 1,750,000   g,q  Petra Diamonds US Treasury plc   7.250   05/01/22   682,500 
 135,000      Potomac Electric Power Co   7.900   12/15/38   202,451 
 2,400,000      PPL Capital Funding, Inc   3.950   03/15/24   2,600,426 
 1,000,000      PPL Electric Utilities Corp   3.000   09/15/21   1,021,389 
 1,175,000   g  Promigas S.A. ESP   3.750   10/16/29   1,151,500 
 3,450,000      PSEG Power LLC   3.850   06/01/23   3,725,214 
 1,200,000   g  PTTEP Treasury Center Co Ltd   2.587   06/10/27   1,224,713 
 3,225,000      Public Service Co of Colorado   3.200   03/01/50   3,603,540 
 1,450,000      Public Service Electric & Gas Co   3.200   08/01/49   1,614,758 
 3,925,000      Public Service Electric & Gas Co   3.150   01/01/50   4,310,497 
 3,750,000      Public Service Electric and Gas Co   2.700   05/01/50   3,881,723 
 2,500,000   g,h  Rumo Luxembourg Sarl   5.250   01/10/28   2,500,000 
 1,750,000      Southern Co   4.400   07/01/46   2,072,334 
 2,075,000      Southern Co Gas Capital Corp   3.875   11/15/25   2,295,828 
 1,250,000      Southern Co Gas Capital Corp   4.400   06/01/43   1,410,960 
 1,175,000      Southern Co Gas Capital Corp   3.950   10/01/46   1,296,372 
 4,950,000      Southern Power Co   2.500   12/15/21   5,074,405 
 1,925,000      Southern Power Co   4.150   12/01/25   2,199,256 
 2,000,000      Southwestern Public Service Co   3.400   08/15/46   2,188,088 
 400,000      TC PipeLines LP   3.900   05/25/27   420,642 
 845,000      Virginia Electric & Power Co   2.950   01/15/22   868,178 
 1,025,000      Virginia Electric & Power Co   2.950   11/15/26   1,136,498 
 1,050,000      Virginia Electric & Power Co   3.500   03/15/27   1,190,553 
 6,000,000      Virginia Electric & Power Co   3.800   04/01/28   6,958,205 
 1,000,000      Wisconsin Power & Light Co   4.100   10/15/44   1,141,130 
 1,800,000      Xcel Energy, Inc   3.350   12/01/26   2,017,402 
 470,000      Xcel Energy, Inc   4.800   09/15/41   571,103 
        TOTAL UTILITIES           240,969,799 
                      
        TOTAL CORPORATE BONDS           3,012,982,791 
        (Cost $2,820,152,282)             
                      
GOVERNMENT BONDS -  33.5%             
                      
AGENCY SECURITIES - 0.4%             
 841,032      AMAL Ltd   3.465   08/21/21   854,347 
 2,500,000      Amber Circle Funding Ltd   3.250   12/04/22   2,592,466 
 3,479,000      Canal Barge Co, Inc   4.500   11/12/34   4,193,468 
 6,125,000      Overseas Private Investment Corp (OPIC)   3.520   09/20/32   6,969,412 
 11,000,000   g  Private Export Funding Corp (PEFCO)   3.266   11/08/21   11,406,540 
 2,000,000   g  Reliance Industries Ltd   3.667   11/30/27   2,149,403 
 1,540,000      UNM Sandoval Regional Medical Center   4.500   07/20/36   1,559,512 
        TOTAL AGENCY SECURITIES           29,725,148 
                      
FOREIGN GOVERNMENT BONDS - 3.0%             
 2,000,000   g  Abu Dhabi Government International Bond   3.125   05/03/26   2,165,488 
 1,500,000   g  Abu Dhabi Government International Bond   2.500   09/30/29   1,568,609 
 3,150,000   g  Abu Dhabi Government International Bond   3.125   09/30/49   3,277,512 
 3,325,000   g  Arab Petroleum Investments Corp   4.125   09/18/23   3,593,657 
173

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,045,000     Argentina Republic Government International Bond   5.625%  01/26/22  $433,152 
 2,000,000   g  Banque Ouest Africaine de Developpement   4.700   10/22/31   2,009,274 
 8,200   g  Barbados Government International Bond   6.500   02/01/21   8,118 
 133,900   g  Barbados Government International Bond   6.500   10/01/29   120,791 
 3,450,000   g  Bermuda Government International Bond   3.717   01/25/27   3,657,000 
 1,575,000   g  Bermuda Government International Bond   4.750   02/15/29   1,773,450 
 3,000,000   g  BNG Bank NV   3.000   09/20/23   3,248,704 
 1,660,000   g  Brazil Minas SPE via State of Minas Gerais   5.333   02/15/28   1,668,317 
 1,450,000      Brazilian Government International Bond   3.875   06/12/30   1,398,235 
 1,450,000      Brazilian Government International Bond   5.625   02/21/47   1,500,750 
 1,500,000   g  Caisse d’Amortissement de la Dette Sociale   1.875   07/28/20   1,501,539 
 5,950,000      Chile Government International Bond   2.550   01/27/32   6,188,000 
 3,200,000      Colombia Government International Bond   3.000   01/30/30   3,160,000 
 1,200,000      Colombia Government International Bond   5.000   06/15/45   1,347,000 
 825,000   g  Costa Rica Government International Bond   6.125   02/19/31   712,387 
 2,925,000   g  Costa Rica Government International Bond   5.625   04/30/43   2,183,512 
DOP  121,500,000   g  Dominican Republic Government International Bond   8.900   02/15/23   1,903,757 
 120,000,000   g  Dominican Republic Government International Bond   12.000   03/05/32   1,989,137 
$3,000,000   g  Dominican Republic Government International Bond   6.500   02/15/48   2,763,000 
 2,425,000   †,g  Ecuador Government International Bond   9.650   12/13/26   1,036,712 
 1,125,000   g  Egypt Government International Bond   5.577   02/21/23   1,148,766 
EUR  3,000,000   g  Egypt Government International Bond   5.625   04/16/30   3,027,452 
$1,050,000   g  Egypt Government International Bond   8.500   01/31/47   1,020,216 
 1,875,000   g  Egypt Government International Bond   8.875   05/29/50   1,842,867 
 1,200,000   g  El Salvador Government International Bond   7.625   02/01/41   1,015,800 
 1,070,000   g  El Salvador Government International Bond   7.125   01/20/50   867,770 
 395,000      European Investment Bank   4.875   02/15/36   600,818 
 1,500,000   g  Export-Import Bank of China   2.850   09/16/20   1,505,863 
 4,400,000   g  Export-Import Bank of India   3.875   02/01/28   4,552,108 
 950,000   g  Ghana Government International Bond   8.125   03/26/32   890,359 
 1,500,000   g  Ghana Government International Bond   8.627   06/16/49   1,353,306 
 850,000   g  Guatemala Government International Bond   4.500   05/03/26   883,575 
 1,550,000   g  Guatemala Government International Bond   4.375   06/05/27   1,604,250 
EUR  1,750,000   g  Hellenic Republic Government International Bond   1.875   07/23/26   2,088,535 
$3,200,000   g  Honduras Government International Bond   6.250   01/19/27   3,406,400 
 250,000   g  Honduras Government International Bond   5.625   06/24/30   254,375 
IDR  28,000,000,000      Indonesia Treasury Bond   7.000   09/15/30   1,928,148 
   25,500,000,000      Indonesia Treasury Bond   7.500   08/15/32   1,752,000 
$2,050,000   g  Iraq Government International Bond   5.800   01/15/28   1,848,321 
 3,100,000      Israel Government International Bond   3.250   01/17/28   3,500,877 
 2,175,000      Israel Government International Bond   4.125   01/17/48   2,696,008 
 1,452,500   g,i  Ivory Coast Government International Bond (Step Bond)  5.750   12/31/32   1,425,704 
 3,050,000      Jamaica Government International Bond   7.875   07/28/45   3,725,575 
 1,500,000   g  Japan Finance Organization for Municipalities   3.000   03/12/24   1,620,315 
 2,000,000   g  Jordan Government International Bond   4.950   07/07/25   2,000,000 
 1,500,000   g  Jordan Government International Bond   5.750   01/31/27   1,551,603 
 1,375,000   g  Kenya Government International Bond   7.000   05/22/27   1,353,364 
 1,150,000   g  Kommunalbanken AS.   1.375   10/26/20   1,153,378 
174

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$2,080,000   g  Kommunalbanken AS.      2.750%  02/05/24  $2,251,775 
 2,000,000   g  Kommunalbanken AS.      1.125   06/14/30   2,021,956 
 2,000,000   i  Korea Development Bank  LIBOR 3 M + 0.550%   0.868   03/12/21   1,999,396 
 3,175,000   g  Korea Electric Power Corp      1.125   06/15/25   3,180,012 
 1,650,000   g  Korea Housing Finance Corp      2.000   10/11/21   1,673,693 
 1,500,000   g  Korea Housing Finance Corp      3.000   10/31/22   1,566,876 
 15,000,000      Kreditanstalt fuer Wiederaufbau      2.750   10/01/20   15,095,817 
 2,200,000      Mexico Government International Bond      4.150   03/28/27   2,354,000 
 1,950,000      Mexico Government International Bond      3.250   04/16/30   1,932,470 
 3,424,000      Mexico Government International Bond      6.050   01/11/40   4,168,720 
 1,500,000   g  Mongolia Government International Bond      5.125   12/05/22   1,484,956 
 2,000,000   g  Morocco Government International Bond      5.500   12/11/42   2,439,744 
 2,500,000   g  Namibia Government International Bond      5.250   10/29/25   2,532,954 
 2,000,000   g  Nederlandse Waterschapsbank NV      2.125   11/15/21   2,047,999 
 2,000,000   g  Nederlandse Waterschapsbank NV      3.125   12/05/22   2,128,241 
 2,425,000   g  Nigeria Government International Bond      6.500   11/28/27   2,296,670 
 1,500,000   g  Oman Government International Bond      6.000   08/01/29   1,393,269 
 3,000,000      Panama Government International Bond      4.300   04/29/53   3,573,780 
 3,225,000   g  Panama Notas del Tesoro      3.750   04/17/26   3,370,125 
 475,000   g  Paraguay Government International Bond      4.700   03/27/27   518,942 
 725,000   g  Paraguay Government International Bond      5.400   03/30/50   839,188 
 3,400,000   g  Perusahaan Penerbit SBSN Indonesia III      3.900   08/20/24   3,625,216 
 4,650,000   g  Perusahaan Penerbit SBSN Indonesia III      4.400   03/01/28   5,162,244 
 1,825,000      Peruvian Government International Bond      4.125   08/25/27   2,096,943 
PEN  6,775,000   g  Peruvian Government International Bond      5.400   08/12/34   2,015,478 
$554,167   g  Petroamazonas EP      4.625   12/06/21   390,688 
 2,600,000      Philippine Government International Bond      3.750   01/14/29   2,962,909 
 620,000      Province of Quebec Canada      7.500   09/15/29   953,982 
 1,500,000   †,g  Provincia de Mendoza Argentina      8.375   05/19/24   780,015 
 450,000   g  Qatar Government International Bond      3.400   04/16/25   489,148 
 1,375,000   g  Qatar Government International Bond      3.750   04/16/30   1,561,612 
 1,300,000   g  Republic of Belarus International Bond      7.625   06/29/27   1,336,710 
 5,000,000      Republic of Italy Government International Bond      4.000   10/17/49   5,062,400 
 2,200,000   g  Republic of Paraguay      6.100   08/11/44   2,706,000 
 2,150,000   g  Republic of Uzbekistan Government International Bond      4.750   02/20/24   2,261,878 
 2,900,000   g  Saudi Government International Bond      4.500   04/17/30   3,416,085 
 2,000,000   g  Saudi Government International Bond      3.750   01/21/55   2,036,048 
 1,500,000   g  Senegal Government International Bond      6.250   05/23/33   1,522,809 
RSD  290,000,000      Serbia Treasury Bonds      5.875   02/08/28   3,292,149 
$2,000,000      South Africa Government International Bond     5.875   09/16/25   2,120,000 
 2,900,000   g  Southern Gas Corridor CJSC      6.875   03/24/26   3,333,939 
 1,500,000   g  Sri Lanka Government International Bond      6.850   03/14/24   1,041,901 
 2,050,000      State of Israel      3.375   01/15/50   2,245,611 
EUR  3,475,000   g  Ukraine Government International Bond      4.375   01/27/30   3,339,626 
$1,776,946   h  Uruguay Government International Bond      4.375   01/23/31   2,076,823 
 2,400,000   †,g  Zambia Government International Bond      8.500   04/14/24   1,272,319 
        TOTAL FOREIGN GOVERNMENT BONDS           215,798,970 
                         
MORTGAGE BACKED - 17.7%                
 433      Federal Home Loan Mortgage Corp (FHLMC)     7.500   11/15/21   445 
 690      FHLMC      6.000   05/15/22   706 
 9,825,000      FHLMC      3.000   10/15/33   10,985,011 
175

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$5,073,901      FHLMC      3.500%  08/15/43  $5,252,479 
 17,484,781      FHLMC      3.500   03/15/44   19,198,941 
 5,122,508   i  FHLMC  LIBOR 1 M + 5.920%   5.735   03/15/44   1,065,922 
 15,375,797      FHLMC      4.000   10/01/47   17,197,507 
 7,349,977   i  FHLMC  LIBOR 1 M + 9.920%   9.624   06/15/48   9,251,565 
 2,373,720      FHLMC      3.000   09/01/48   2,510,968 
 8,667,477   i  FHLMC  LIBOR 1 M + 9.840%   9.544   10/15/48   11,063,769 
 45,092,039      FHLMC      4.000   09/01/49   49,295,131 
 25      Federal Home Loan Mortgage Corp Gold (FGLMC)      7.000   10/01/20   25 
 673      FGLMC      8.000   01/01/31   698 
 13,858      FGLMC      8.000   09/01/31   16,412 
 74,627      FGLMC      7.000   12/01/31   86,608 
 66,874      FGLMC      4.500   07/01/33   73,008 
 456,669      FGLMC      7.000   12/01/33   535,285 
 156,792      FGLMC      4.500   04/01/35   171,258 
 136,541      FGLMC      7.000   05/01/35   158,924 
 2,735,829      FGLMC      5.000   06/01/36   3,138,973 
 113,593      FGLMC      5.000   07/01/39   130,383 
 2,444,824      FGLMC      5.000   08/01/44   2,802,091 
 133,895      FGLMC      4.500   11/01/44   148,502 
 214,892      FGLMC      4.500   11/01/44   238,364 
 92,092      FGLMC      4.500   12/01/44   100,590 
 131,702      FGLMC      4.500   12/01/44   146,145 
 961,932      FGLMC      3.500   04/01/45   1,055,788 
 21,180,378      FGLMC      3.500   08/01/45   23,369,465 
 25,427,721      FGLMC      3.500   10/01/45   27,800,534 
 5,270,782      FGLMC      4.000   12/01/45   5,815,643 
 29,913,356      FGLMC      3.500   08/01/46   32,671,808 
 26,356,696      FGLMC      3.000   02/01/47   27,871,685 
 7,260,344      FGLMC      4.500   06/01/47   8,052,812 
 6,307,250      FGLMC      4.000   09/01/47   6,872,091 
 7,928,568      FGLMC      3.500   12/01/47   8,664,609 
 21,029,530      FGLMC      3.500   03/01/48   22,976,279 
 18,384,273      FGLMC      4.000   03/01/48   20,314,518 
 4,362,489      FGLMC      4.000   07/01/48   4,777,221 
 21,893,404      FGLMC      4.500   08/01/48   24,307,818 
 4      Federal National Mortgage Association (FNMA)      6.500   07/25/20   4 
 185      FNMA      8.000   07/01/24   204 
 170      FNMA      7.500   01/01/29   190 
 1,014      FNMA      7.500   03/01/31   1,220 
 1,877,153      FNMA      3.500   05/01/32   1,989,298 
 6,314,318      FNMA      3.000   10/01/32   6,635,267 
 969,926      FNMA      3.500   11/01/32   1,029,588 
 1,045,338      FNMA      5.000   05/01/35   1,199,252 
 784,051      FNMA      5.000   10/01/35   900,573 
 412,227      FNMA      5.000   02/01/36   473,177 
 428,688      FNMA      5.500   11/01/38   492,397 
 353,162      FNMA      5.500   03/01/39   405,249 
 13,268,248      FNMA      3.000   10/01/39   13,979,554 
 3,620,211      FNMA      3.000   05/01/40   3,820,295 
 851,963      FNMA      5.000   09/01/40   978,649 
 445,485      FNMA      4.000   02/01/41   488,878 
 712,599      FNMA      5.000   05/01/41   818,964 
 13,158,991      FNMA      4.000   09/01/42   14,331,190 
176

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,175,405      FNMA      3.500%  04/01/43  $1,285,242 
 5,898,914      FNMA      3.000   04/25/43   6,199,341 
 1,030,177      FNMA      3.500   09/01/43   1,126,025 
 5,608,306   i  FNMA  LIBOR 1 M + 5.950%   5.766   09/25/43   1,271,386 
 3,490,155      FNMA      4.000   01/01/44   3,858,875 
 2,543,224      FNMA      4.500   03/01/44   2,840,467 
 1,090,454      FNMA      4.500   06/01/44   1,210,659 
 4,089,181      FNMA      4.500   06/01/44   4,537,172 
 1,050,700      FNMA      3.500   07/01/44   1,136,063 
 2,544,848      FNMA      4.500   08/01/44   2,824,074 
 3,447,637      FNMA      4.500   10/01/44   3,825,777 
 2,673,770      FNMA      4.500   11/01/44   2,966,199 
 2,690,521      FNMA      5.000   11/01/44   3,086,246 
 628,037      FNMA      4.500   12/01/44   697,132 
 2,861,942      FNMA      4.000   01/01/45   3,117,391 
 2,061,441      FNMA      3.000   02/25/45   2,126,278 
 7,168,314      FNMA      3.000   02/25/45   7,502,105 
 182,589      FNMA      3.500   03/01/45   200,341 
 246,790      FNMA      3.500   03/01/45   270,783 
 2,078,639      FNMA      3.000   03/25/45   2,160,378 
 5,099,470      FNMA      3.500   04/25/45   5,311,296 
 2,539,285      FNMA      3.500   05/01/45   2,800,850 
 4,453,687      FNMA      4.000   06/01/45   4,884,630 
 5,601,724      FNMA      4.000   12/01/45   6,187,883 
 14,744,913      FNMA      3.000   12/25/45   15,404,215 
 5,480,366      FNMA      3.500   01/01/46   5,990,500 
 4,919,156      FNMA      4.000   01/01/46   5,439,055 
 4,603,114      FNMA      4.000   03/01/46   5,049,297 
 4,391,755      FNMA      3.500   06/01/46   4,800,571 
 8,468,064      FNMA      3.500   07/01/46   9,256,319 
 17,706,625      FNMA      3.500   07/01/46   19,337,753 
 7,316,745      FNMA      3.000   10/01/46   7,580,769 
 2,554,450      FNMA      3.500   10/01/46   2,792,245 
 22,783,273      FNMA      3.000   11/01/46   24,062,887 
 3,119,888      FNMA      3.000   04/25/47   3,337,155 
 4,970,745      FNMA      4.500   05/01/47   5,524,215 
 2,921,086      FNMA      3.500   09/01/47   3,118,758 
 19,630,832      FNMA      4.000   09/01/47   20,956,029 
 37,530,406      FNMA      4.000   09/01/47   39,938,588 
 3,274,531      FNMA      3.000   11/01/47   3,392,255 
 4,207,707      FNMA      3.000   11/01/47   4,357,412 
 8,997,149      FNMA      3.500   11/01/47   9,852,806 
 26,133,049      FNMA      4.000   12/01/47   28,888,397 
 954,061   h  FNMA      4.000   12/01/47   1,016,982 
 13,327,230      FNMA      3.500   01/01/48   14,609,873 
 4,355,589      FNMA      3.500   01/01/48   4,747,926 
 5,688,707      FNMA      4.500   01/01/48   6,371,366 
 2,280,903      FNMA      4.500   02/01/48   2,553,667 
 25,819,843      FNMA      3.000   02/25/48   27,400,635 
 41,930,065      FNMA      3.500   03/01/48   44,247,590 
 4,708,040      FNMA      4.000   03/01/48   5,200,893 
 9,603,846      FNMA      4.500   03/01/48   10,752,311 
 4,032,938      FNMA      4.500   05/01/48   4,515,240 
177

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,988,951      FNMA   4.500%  05/01/48  $3,346,404 
 4,422,383      FNMA   5.000   08/01/48   5,014,929 
 7,775,882   j  FNMA   0.000   11/25/48   7,228,974 
 7,775,882      FNMA   3.000   11/25/48   856,231 
 194,357      FNMA   3.000   05/01/49   201,155 
 3,724,928      FNMA   3.000   06/01/49   3,855,010 
 4,228,828      FNMA   3.000   08/01/49   4,595,450 
 97,620      FNMA   2.500   04/01/50   101,690 
 50,000,000   h  FNMA   2.000   07/25/50   51,142,578 
 131,000,000   h  FNMA   2.500   07/25/50   136,511,211 
 194,000,000   h  FNMA   3.000   07/25/50   204,260,780 
 44,382      Government National Mortgage Association (GNMA)   6.500   11/20/38   51,809 
 11,718      GNMA   4.500   02/20/39   13,471 
 402,022      GNMA   5.000   06/15/39   460,262 
 15,795      GNMA   4.500   08/20/41   17,788 
 55,522      GNMA   4.500   09/20/41   63,788 
 1,298,133      GNMA   3.500   06/15/42   1,381,388 
 11,061      GNMA   4.500   01/20/44   12,700 
 9,771      GNMA   4.500   02/20/44   11,111 
 25,052      GNMA   4.500   05/20/44   28,808 
 158,018      GNMA   4.500   05/20/44   181,715 
 180,415      GNMA   4.500   08/20/44   207,312 
 116,680      GNMA   4.500   09/20/44   134,216 
 69,642      GNMA   4.500   10/20/44   79,221 
 27,524      GNMA   4.500   11/20/44   29,693 
 114,651      GNMA   4.500   12/20/44   131,827 
 153,333      GNMA   4.500   02/20/45   172,300 
 179,899      GNMA   4.500   08/20/45   206,906 
 179,766      GNMA   4.500   08/20/45   206,786 
 166,183      GNMA   4.500   12/20/45   191,114 
 4,956,804      GNMA   4.000   06/20/46   580,723 
 23,000,000   h  GNMA   3.000   07/20/47   24,361,133 
 10,378,609      GNMA   3.500   01/20/49   11,349,430 
        TOTAL MORTGAGE BACKED           1,264,574,145 
                      
MUNICIPAL BONDS - 4.6%             
 7,910,000      Alabama Economic Settlement Authority   3.163   09/15/25   8,360,316 
 990,000      Chicago Housing Authority   3.682   01/01/25   1,079,476 
 380,000      City & County of San Francisco CA Community Facilities District   3.028   09/01/23   398,164 
 550,000      City & County of San Francisco CA Community Facilities District   4.038   09/01/34   609,725 
 3,605,000      City of Austin TX Electric Utility Revenue   2.456   11/15/22   3,765,459 
 2,950,000      City of Austin TX Electric Utility Revenue   2.524   11/15/23   3,130,569 
 3,595,000      City of Austin TX Electric Utility Revenue   2.574   11/15/24   3,872,570 
 2,210,000      City of Austin TX Electric Utility Revenue   2.677   11/15/25   2,419,685 
 3,670,000      City of Los Angeles CA   3.320   09/01/24   4,065,369 
 3,670,000      City of Los Angeles CA   3.450   09/01/25   4,162,037 
 4,945,000      City of New York NY   3.200   12/01/26   5,386,341 
 3,935,000      Commonwealth Financing Authority   3.864   06/01/38   4,632,479 
 1,875,000      County of Miami-Dade FL Aviation Revenue   1.885   10/01/21   1,884,506 
 1,500,000      County of Miami-Dade FL Aviation Revenue   2.218   10/01/22   1,522,050 
 1,500,000      County of Miami-Dade FL Aviation Revenue   2.368   10/01/23   1,533,975 
178

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,500,000      County of Miami-Dade FL Aviation Revenue   3.285%  10/01/23  $2,575,100 
 3,500,000      County of Miami-Dade FL Aviation Revenue   2.504   10/01/24   3,608,150 
 2,250,000      County of Miami-Dade FL Aviation Revenue   3.405   10/01/24   2,355,075 
 3,500,000      County of Miami-Dade FL Aviation Revenue   2.604   10/01/25   3,614,905 
 2,380,000      County of Miami-Dade FL Aviation Revenue   3.505   10/01/25   2,495,382 
 2,500,000      County of Miami-Dade FL Aviation Revenue   2.704   10/01/26   2,578,100 
 2,000,000      County of Miami-Dade FL Aviation Revenue   3.049   10/01/26   2,026,420 
 3,750,000      County of Miami-Dade FL Aviation Revenue   3.612   10/01/26   3,939,450 
 470,000      County of Miami-Dade FL Aviation Revenue   4.280   10/01/41   502,289 
 4,265,000      Denver City & County School District No. 1   3.598   12/15/27   4,920,061 
 22,175,000      Florida Hurricane Catastrophe Fund Finance Corp   2.995   07/01/20   22,175,000 
 8,840,000      Health & Educational Facilities Authority of the State of Missouri   3.651   01/15/46   10,658,300 
 5,075,000      Illinois Finance Authority   3.944   08/15/47   5,614,574 
 1,000,000      Los Angeles County Redevelopment Agency   2.000   09/01/22   1,015,580 
 2,350,000      Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy   1.500   09/01/21   2,357,449 
 4,805,000      Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy   3.375   09/01/35   5,035,544 
 6,335,000   i  Michigan Finance Authority   2.862   09/01/49   6,414,948 
 6,650,000   i  Michigan Finance Authority   2.988   09/01/49   6,705,660 
 3,400,000      New Jersey Economic Development Authority   7.425   02/15/29   4,108,560 
 4,075,000      New York State Dormitory Authority   4.294   07/01/44   4,502,467 
 6,000,000      New York State Dormitory Authority   3.879   07/01/46   6,332,220 
 850,000      Oklahoma City Economic Development Trust   3.172   09/01/21   868,964 
 1,120,000      Oklahoma City Economic Development Trust   3.222   09/01/22   1,167,790 
 810,000      Oklahoma City Economic Development Trust   3.440   09/01/24   875,894 
 7,500,000      Port of Morrow OR   1.582   09/01/20   7,506,375 
 5,000,000      Port of Morrow OR   1.782   09/01/21   5,043,100 
 2,000,000      Port of Seattle WA   3.471   05/01/31   2,091,420 
 1,625,000      Port of Seattle WA   3.571   05/01/32   1,704,040 
 4,355,000      Public Finance Authority   4.269   07/01/40   4,906,735 
 1,000,000      Regents of the University of California Medical Center Pooled Revenue   2.037   05/15/23   1,018,820 
 1,000,000      Regents of the University of California Medical Center Pooled Revenue   2.259   05/15/24   1,029,750 
 1,250,000      Regents of the University of California Medical Center Pooled Revenue   2.359   05/15/25   1,298,488 
 1,785,000      Regents of the University of California Medical Center Pooled Revenue   2.459   05/15/26   1,867,895 
 1,600,000      Regents of the University of California Medical Center Pooled Revenue   2.559   05/15/27   1,688,784 
 700,000      Regents of the University of California Medical Center Pooled Revenue   2.659   05/15/28   743,519 
 905,000      Regents of the University of California Medical Center Pooled Revenue   2.759   05/15/29   968,775 
 3,980,000      Rhode Island Convention Center Authority   3.195   05/15/26   4,155,319 
 4,500,000      San Francisco City & County Redevelopment Agency   2.526   08/01/20   4,501,800 
 5,000,000      San Francisco City & County Redevelopment Agency   2.813   08/01/21   5,043,350 
 875,000      San Francisco City & County Redevelopment Agency   3.113   08/01/22   893,734 
179

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$6,365,000      San Jose Redevelopment Agency   3.375%  08/01/34  $6,897,305 
 165,000      Santa Ana Community Redevelopment Agency Successor Agency   3.346   09/01/21   169,399 
 660,000      Santa Ana Community Redevelopment Agency Successor Agency   3.467   09/01/22   694,505 
 660,000      Santa Ana Community Redevelopment Agency Successor Agency   3.567   09/01/23   710,794 
 13,060,000      State of California   4.600   04/01/38   15,261,524 
 3,460,000      State of Georgia   1.910   02/01/23   3,538,438 
 1,845,000      State of Illinois   4.700   01/01/21   1,837,030 
 21,060,000      State of Illinois   5.100   06/01/33   21,364,317 
 13,000,000      State of Michigan   1.779   11/01/21   13,162,630 
 7,000,000      State of Michigan   1.966   11/01/22   7,178,010 
 3,500,000      State of Texas   3.225   10/01/24   3,860,570 
 1,000,000      State of Texas   3.295   10/01/25   1,128,360 
 9,900,000      State of Wisconsin   3.154   05/01/27   10,996,128 
 1,763,000      State Public School Building Authority   5.000   09/15/27   2,106,556 
 7,500,000      Texas A&M University   3.993   05/15/37   8,392,875 
 1,000,000      University of California   1.784   05/15/21   1,009,140 
 15,000,000      University of California   1.910   05/15/21   15,121,500 
 3,000,000      University of California   2.220   05/15/23   3,109,680 
 2,000,000      University of California   2.439   05/15/24   2,101,560 
 2,000,000      University of California   2.589   05/15/25   2,134,020 
 6,635,000      University of California   3.552   05/15/39   7,987,213 
        TOTAL MUNICIPAL BONDS           326,494,061 
                      
U.S. TREASURY SECURITIES - 7.8%             
 2,250,000      United States Treasury Bond   4.750   02/15/37   3,587,520 
 46,875,000      United States Treasury Bond   3.500   02/15/39   66,302,490 
 16,015,000      United States Treasury Bond   3.875   08/15/40   23,862,350 
 12,000,000      United States Treasury Bond   3.125   11/15/41   16,248,750 
 1,380,000      United States Treasury Bond   2.500   05/15/46   1,710,769 
 10,450,000      United States Treasury Bond   3.000   05/15/47   14,236,492 
 1,255,000      United States Treasury Bond   2.750   08/15/47   1,639,001 
 51,285,000      United States Treasury Bond   2.750   11/15/47   67,065,154 
 55,445,000      United States Treasury Bond   3.000   02/15/48   75,870,851 
 510,000      United States Treasury Bond   3.125   05/15/48   714,379 
 46,841,000      United States Treasury Bond   3.375   11/15/48   68,792,229 
 4,165,000      United States Treasury Bond   2.000   02/15/50   4,767,298 
 18,709,120   k  United States Treasury Inflation Indexed Bonds   0.500   04/15/24   19,683,137 
 71,000,000      United States Treasury Note   0.125   05/31/22   70,947,304 
 50,800,000      United States Treasury Note   0.125   06/30/22   50,776,124 
 20,445,000      United States Treasury Note   0.250   06/15/23   20,488,126 
 6,305,000      United States Treasury Note   0.250   06/30/25   6,292,686 
 3,150,000      United States Treasury Note   2.875   08/15/28   3,730,043 
 2,530,000      United States Treasury Note   3.125   11/15/28   3,058,533 
 4,620,000      United States Treasury Note   0.625   05/15/30   4,605,923 
 34,000,000      United States Treasury Note   1.250   05/15/50   32,641,328 
        TOTAL U.S. TREASURY SECURITIES           557,020,487 
                      
        TOTAL GOVERNMENT BONDS           2,393,612,811 
        (Cost $2,244,692,969)             
180

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
STRUCTURED ASSETS - 19.0%                
                 
ASSET BACKED - 8.9%                
$11,000,000      Ally Auto Receivables Trust      1.840%  06/17/24  $11,214,362 
        Series - 2019 4 (Class A3)                
 320,751      American Airlines Pass Through Trust      3.575   01/15/28   310,325 
        Series - 2016 1 (Class AA)                
 26,900,000      American Express Credit Account Master Trust      2.670   11/15/24   28,007,360 
        Series - 2019 2 (Class A)                
 826,136   g  American Homes 4 Rent Trust      3.786   10/17/36   887,303 
        Series - 2014 SFR2 (Class A)                
 5,500,000      AmeriCredit Automobile Receivables Trust      1.110   08/19/24   5,536,061 
        Series - 2020 1 (Class A3)                
 1,235,000   g  AMSR Trust      1.819   04/17/37   1,248,309 
        Series - 2020 SFR1 (Class A)                
 2,000,000   g,i  AMSR Trust      3.148   01/19/39   2,022,736 
        Series - 2019 SFR1 (Class C)                
 1,700,000   g,i  AMSR Trust      3.247   01/19/39   1,685,504 
        Series - 2019 SFR1 (Class D)                
 7,145,000   g  Applebee’s Funding LLC      4.194   06/07/49   6,332,828 
        Series - 2019 1A (Class A2I)                
 55,677   †,g  Asset Backed Funding Corp NIM Trust      5.900   07/26/35   1 
        Series - 2005 WMC1 (Class N1)                
 532,287   i  Asset Backed Securities Corp Home Equity Loan Trust  LIBOR 1 M + 0.900%   3.386   08/25/34   521,872 
        Series - 2004 HE5 (Class M1)                
 10,000,000   g  Atrium XV      4.489   01/23/31   10,059,625 
        Series - 2018 15A (Class A2)                
 4,000,000   g  Avis Budget Rental Car Funding AESOP LLC      3.450   03/20/23   4,012,900 
        Series - 2019 1A (Class A)                
 6,000,000   g  Avis Budget Rental Car Funding AESOP LLC      3.070   09/20/23   6,021,040 
        Series - 2017 1A (Class A)                
 8,500,000   g  Avis Budget Rental Car Funding AESOP LLC      2.970   03/20/24   8,527,486 
        Series - 2017 2A (Class A)                
 9,100,000      BA Credit Card Trust      1.740   01/15/25   9,357,626 
        Series - 2019 A1 (Class A1)                
 2,000,000   i  Bayview Financial Mortgage Pass-Through Trust  LIBOR 1 M + 0.975%   1.159   02/28/41   1,949,914 
        Series - 2006 A (Class M3)                
 9,717,000   i  Bear Stearns Asset Backed Securities Trust  LIBOR 1 M + 0.670%   0.855   04/25/36   9,566,319 
        Series - 2006 SD1 (Class M1)                
 1,955,709   g  BRE Grand Islander Timeshare Issuer LLC      3.280   09/26/33   1,946,483 
        Series - 2019 A (Class A)                
 5,694,097   g  Capital Automotive REIT      3.660   10/15/44   5,637,142 
        Series - 2014 1A (Class A)                
 12,821,640   g  Capital Automotive REIT      3.870   04/15/47   12,833,834 
        Series - 2017 1A (Class A1)                
 6,926,445   g  Capital Automotive REIT      2.690   02/15/50   6,928,730 
        Series - 2020 1A (Class A1)                
 5,850,000   g  Capital Automotive REIT      3.480   02/15/50   5,547,615 
        Series - 2020 1A (Class A5)                
 4,025,000      CarMax Auto Owner Trust      2.180   08/15/24   4,140,444 
        Series - 2019 3 (Class A3)                
 7,500,000      CarMax Auto Owner Trust      1.890   12/16/24   7,716,946 
        Series - 2020 1 (Class A3)                
 12,500,000   †,g,h,i  Cayuga Park CLO, Ltd.
Series - 2020 1A (Class A)
  LIBOR 3 M + 1.600%   1.910   07/17/31   12,500,000 
181

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$670,151   i  C-BASS Trust  LIBOR 1 M + 0.080%   0.265%  07/25/36  $617,458 
        Series - 2006 CB6 (Class A1)                
 8,817,685   †,g,i  CBRE Realty Finance  LIBOR 3 M + 0.300%   2.343   04/07/52   0 
        Series - 2007 1A (Class A2)                
 49,950   i  CF Mortgage Trust      2.840   04/15/52   50,590 
        Series - 2020 P1 (Class A1)                
 30,105,000      Chase Issuance Trust      1.530   01/15/25   30,983,386 
        Series - 2020 A1 (Class A1)                
 43,871   i  CIT Group Home Equity Loan Trust (Step Bond)      6.200   02/25/30   44,632 
        Series - 2002 1 (Class AF6)                
 470,000   i  Citigroup Mortgage Loan Trust  LIBOR 1 M + 0.750%   0.935   01/25/36   461,531 
        Series - 2006 WFH1 (Class M4)                
 1,258,411   g  Corevest American Finance Trust      1.832   03/15/50   1,218,339 
        Series - 2020 1 (Class A1)                
 12,218,750   g  DB Master Finance LLC      3.629   11/20/47   12,616,592 
        Series - 2017 1A (Class A2I)                
 1,627,700   g  DB Master Finance LLC      3.787   05/20/49   1,679,770 
        Series - 2019 1A (Class A2I)                
 1,116,563   g  DB Master Finance LLC      4.352   05/20/49   1,207,372 
        Series - 2019 1A (Class A23)                
 3,018,165   g  Diamond Resorts Owner Trust      2.890   02/20/32   3,031,359 
        Series - 2019 1A (Class A)                
 2,598,750   g  Domino’s Pizza Master Issuer LLC      4.474   10/25/45   2,811,016 
        Series - 2015 1A (Class A2II)                
 575,250   g,i  Domino’s Pizza Master Issuer LLC  LIBOR 3 M + 1.250%   2.241   07/25/47   570,194 
        Series - 2017 1A (Class A2I)                
 13,381,875   g  Domino’s Pizza Master Issuer LLC      3.082   07/25/47   13,667,979 
        Series - 2017 1A (Class A2II)                
 2,358,000   g  Domino’s Pizza Master Issuer LLC      4.116   07/25/48   2,510,185 
        Series - 2018 1A (Class A2I)                
 3,799,172   g,i  Ellington Loan Acquisition Trust  LIBOR 1 M + 1.100%   1.285   05/25/37   3,770,637 
        Series - 2007 2 (Class A2C)                
 4,000,000      Ford Credit Auto Lease Trust      1.880   05/15/23   4,080,469 
        Series - 2020 A (Class A4)                
 5,650,000      Ford Credit Floorplan Master Owner Trust      2.230   09/15/24   5,733,693 
        Series - 2019 3 (Class A1)                
 750,000   g,i  FREMF Mortgage Trust      4.158   03/25/49   801,395 
        Series - 2016 K53 (Class B)                
 4,875,000      GM Financial Automobile Leasing Trust      1.670   12/20/22   4,946,176 
        Series - 2020 1 (Class A3)                
 1,526,673   g  HERO Funding Trust      3.190   09/20/48   1,561,855 
        Series - 2017 3A (Class A1)                
 554,966   g  HERO Funding Trust      3.280   09/20/48   573,182 
        Series - 2017 2A (Class A1)                
 1,984,675   g  HERO Funding Trust      3.950   09/20/48   2,081,245 
        Series - 2017 3A (Class A2)                
 1,109,932   g  HERO Funding Trust      4.070   09/20/48   1,168,853 
        Series - 2017 2A (Class A2)                
 2,216,591   g  Hertz Vehicle Financing II LP      3.710   03/25/23   2,194,378 
        Series - 2019 1A (Class A)                
 12,490,198   g  Hertz Vehicle Financing II LP
Series - 2018 1A (Class A)
      3.290   02/25/24   12,375,797 
182

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$2,015,141   g  Hertz Vehicle Financing II LP      3.420%  05/25/25  $1,993,622 
        Series - 2019 2A (Class A)                
 6,042,491   g  Hertz Vehicle Financing LLC      4.030   07/25/24   5,982,412 
        Series - 2018 3A (Class A)                
 1,440,900   g  Hilton Grand Vacations Trust      2.660   12/26/28   1,421,982 
        Series - 2017 AA (Class A)                
 1,080,675   g  Hilton Grand Vacations Trust      2.960   12/26/28   998,437 
        Series - 2017 AA (Class B)                
 1,512,017   g  Hilton Grand Vacations Trust      4.000   02/25/32   1,426,200 
        Series - 2018 AA (Class C)                
 2,098,558   g  Hilton Grand Vacations Trust      2.340   07/25/33   2,098,562 
        Series - 2019 AA (Class A)                
 4,415,365   g  Hilton Grand Vacations Trust      2.840   07/25/33   4,017,398 
        Series - 2019 AA (Class C)                
 159,660   i  Home Equity Asset Trust  LIBOR 1 M + 1.500%   3.986   06/25/33   156,826 
        Series - 2003 1 (Class M1)                
 11,500,000      Honda Auto Receivables Owner Trust      1.830   01/18/24   11,798,906 
        Series - 2019 4 (Class A3)                
 4,252,905   g  Horizon Aircraft Finance II Ltd      3.721   07/15/39   3,740,948 
        Series - 2019 1 (Class A)                
 4,608,631   g  Horizon Aircraft Finance III Ltd      3.425   11/15/39   3,984,809 
        Series - 2019 2 (Class A)                
 497,580   g,i  Invitation Homes Trust  LIBOR 1 M + 0.900%   1.085   06/17/37   491,271 
        Series - 2018 SFR2 (Class A)                
 200,000   g,i  Invitation Homes Trust  LIBOR 1 M + 1.450%   1.635   06/17/37   193,736 
        Series - 2018 SFR2 (Class D)                
 1,063,312   g,i  Invitation Homes Trust  LIBOR 1 M + 1.000%   1.194   07/17/37   1,055,407 
        Series - 2018 SFR3 (Class A)                
 3,036,349   g,i  Invitation Homes Trust  LIBOR 1 M + 1.100%   1.294   01/17/38   3,029,696 
        Series - 2018 SFR4 (Class A)                
 1,400,000   g,i  Invitation Homes Trust  LIBOR 1 M + 1.650%   1.844   01/17/38   1,366,823 
        Series - 2018 SFR4 (Class D)                
 1,321,207   i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.320%   0.505   03/25/37   1,265,461 
        Series - 2007 CH3 (Class A1B)                
 5,505,051   i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.160%   0.345   06/25/37   5,330,992 
        Series - 2007 CH5 (Class A1)                
 302,364   g  Mid-State Capital Trust      7.000   12/15/45   316,895 
        Series - 2010 1 (Class B)                
 553,165   g  MVW Owner Trust      2.520   12/20/32   548,325 
        Series - 2015 1A (Class A)                
 2,257,481   g  MVW Owner Trust      3.900   01/21/36   2,163,580 
        Series - 2018 1A (Class C)                
 4,525,711   g  MVW Owner Trust      3.000   11/20/36   4,338,406 
        Series - 2019 1A (Class B)                
 1,548,270   g  MVW Owner Trust      3.330   11/20/36   1,441,368 
        Series - 2019 1A (Class C)                
 3,430,470   g  MVW Owner Trust      2.680   10/20/38   3,048,910 
        Series - 2019 2A (Class C)                
 3,100,000   g  Navient Student Loan Trust      3.390   12/15/59   3,208,098 
        Series - 2019 BA (Class A2A)                
 8,500,000   g,h,i  Octagon Investment Partners 46 Ltd  LIBOR 3 M + 1.650%   1.960   07/15/33   8,500,000 
        Series - 2020 2A (Class A)                
 7,650,000   g  OneMain Financial Issuance Trust
Series - 2020 1A (Class A)
      3.840   05/14/32   7,927,900 
183

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$158,019   g,i  Orange Lake Timeshare Trust      3.030%  07/09/29  $157,645 
        Series - 2014 AA (Class B)                
 1,292,003   g  Orange Lake Timeshare Trust      3.100   11/08/30   1,300,704 
        Series - 2018 A (Class A)                
 10,000,000   g  PFS Financing Corp      1.270   06/16/25   10,025,208 
        Series - 2020 A (Class A)                
 6,681,000   g  Planet Fitness Master Issuer LLC      4.262   09/05/48   6,710,129 
        Series - 2018 1A (Class A2I)                
 3,748,238   g  Planet Fitness Master Issuer LLC      4.666   09/05/48   3,630,131 
        Series - 2018 1A (Class A2II)                
 1,164,942   g,i  Pretium Mortgage Credit Partners I LLC (Step Bond)      3.844   12/27/58   1,156,798 
        Series - 2019 NPL2 (Class A1)                
 2,295,727   g  Progress Residential Trust      2.897   12/17/34   2,305,676 
        Series - 2017 SFR2 (Class A)                
 200,000   g  Progress Residential Trust      2.937   10/17/36   203,937 
        Series - 2019 SFR4 (Class B)                
 1,935,372   g,i  PRPM LLC (Step Bond)      3.967   04/25/24   1,950,176 
        Series - 2019 2A (Class A1)                
 820,000   i  RASC Trust  LIBOR 1 M + 0.590%   3.080   08/25/35   808,211 
        Series - 2005 KS8 (Class M4)                
 6,454,421   g  Renew      3.950   09/20/53   6,926,824 
        Series - 2018 1 (Class A)                
 4,900,000   g  Santander Retail Auto Lease Trust      2.300   01/20/23   5,006,170 
        Series - 2019 B (Class A3)                
 3,250,000   g  Santander Retail Auto Lease Trust      1.860   02/21/23   3,313,837 
        Series - 2019 C (Class A3)                
 2,330,000   g  Santander Retail Auto Lease Trust      1.930   11/20/23   2,377,758 
        Series - 2019 C (Class A4)                
 206,031      SBA Small Business Investment Co      3.215   09/10/20   206,694 
        Series - 2010 10B (Class A)                
 4,975,031   g  SERVPRO Master Issuer LLC      3.882   10/25/49   5,001,548 
        Series - 2019 1A (Class A2)                
 3,781,263   g  Settlement Fee Finance LLC      3.840   11/01/49   3,734,373 
        Series - 2019 1A (Class A)                
 552,305   g  Sierra Timeshare Receivables Funding LLC      2.580   09/20/32   551,060 
        Series - 2015 3A (Class A)                
 55,230   g  Sierra Timeshare Receivables Funding LLC      3.080   09/20/32   54,861 
        Series - 2015 3A (Class B)                
 809,008   g  Sierra Timeshare Receivables Funding LLC      3.080   03/21/33   808,063 
        Series - 2016 1A (Class A)                
 1,552,139   g  Sierra Timeshare Receivables Funding LLC      2.330   07/20/33   1,551,654 
        Series - 2016 2A (Class A)                
 199,333   g  Sierra Timeshare Receivables Funding LLC      2.780   07/20/33   198,703 
        Series - 2016 2A (Class B)                
 1,068,771   g  Sierra Timeshare Receivables Funding LLC      2.430   10/20/33   1,066,022 
        Series - 2016 3A (Class A)                
 657,705   g  Sierra Timeshare Receivables Funding LLC      2.630   10/20/33   652,993 
        Series - 2016 3A (Class B)                
 3,468,909   g  Sierra Timeshare Receivables Funding LLC      2.910   03/20/34   3,445,594 
        Series - 2017 1A (Class A)                
 235,340   g  Sierra Timeshare Receivables Funding LLC      3.200   03/20/34   224,300 
        Series - 2017 1A (Class B)                
184

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$2,833,471   g  Sierra Timeshare Receivables Funding LLC      3.650%  06/20/35  $2,741,164 
        Series - 2018 2A (Class B)                
 2,427,157   g  Sierra Timeshare Receivables Funding LLC      4.170   09/20/35   2,317,179 
        Series - 2018 3A (Class C)                
 2,483,273   g  Sierra Timeshare Receivables Funding LLC      3.200   01/20/36   2,531,680 
        Series - 2019 1A (Class A)                
 3,659,561   g  Sierra Timeshare Receivables Funding LLC      3.770   01/20/36   3,545,723 
        Series - 2019 1A (Class C)                
 6,050,802   g  Sierra Timeshare Receivables Funding LLC      3.120   05/20/36   5,770,688 
        Series - 2019 2A (Class C)                
 3,341,984   g  Sierra Timeshare Receivables Funding LLC      3.000   08/20/36   3,081,825 
        Series - 2019 3A (Class C)                
 5,432,159   g  SMB Private Education Loan Trust      2.430   02/17/32   5,551,180 
        Series - 2016 B (Class A2A)                
 3,529,721   g  SMB Private Education Loan Trust      2.880   09/15/34   3,651,238 
        Series - 2017 A (Class A2A)                
 2,840,862   g  SMB Private Education Loan Trust      2.820   10/15/35   2,925,328 
        Series - 2017 B (Class A2A)                
 2,493,890   g  SoFi Professional Loan Program LLC      2.340   04/25/33   2,529,362 
        Series - 2016 D (Class A2B)                
 3,286,765   g  SoFi Professional Loan Program LLC      2.490   01/25/36   3,327,216 
        Series - 2016 E (Class A2B)                
 1,554,361   g  SoFi Professional Loan Program LLC      2.760   12/26/36   1,563,112 
        Series - 2016 A (Class A2)                
 2,395,261   g  SoFi Professional Loan Program LLC      2.400   03/26/40   2,421,371 
        Series - 2017 A (Class A2B)                
 3,560,345   g  SoFi Professional Loan Program LLC      2.740   05/25/40   3,617,416 
        Series - 2017 B (Class A2FX)                
 1,632,157   g  SoFi Professional Loan Program LLC      2.630   07/25/40   1,652,517 
        Series - 2017 C (Class A2B)                
 3,750,000   g  SoFi Professional Loan Program LLC      2.720   11/26/40   3,815,384 
        Series - 2017 E (Class A2B)                
 6,423,333   g  SoFi Professional Loan Program LLC      2.840   01/25/41   6,566,056 
        Series - 2017 F (Class A2FX)                
 4,602,482   g  SoFi Professional Loan Program LLC      2.060   05/15/46   4,639,426 
        Series - 2020 A (Class A1FX)                
 2,750,000   g  SoFi Professional Loan Program LLC      3.690   06/15/48   2,882,813 
        Series - 2019 A (Class A2FX)                
 1,439,276   g  SolarCity LMC      4.800   11/20/38   1,380,413 
        Series - 2013 1 (Class A)                
 1,677,697   g  SolarCity LMC      4.020   07/20/44   1,660,258 
        Series - 2014 2 (Class A)                
 13,873,600   g  Sonic Capital LLC      3.845   01/20/50   14,541,059 
        Series - 2020 1A (Class A2I)                
 1,351,252   g,i  Starwood Waypoint Homes  LIBOR 1 M + 0.950%   1.135   01/17/35   1,345,414 
        Series - 2017 1 (Class A)                
 221,946   i  Structured Asset Investment Loan Trust  LIBOR 1 M + 0.900%   1.085   09/25/34   209,954 
        Series - 2004 8 (Class M1)                
 1,116,909   i  Structured Asset Investment Loan Trust  LIBOR 1 M + 1.000%   1.185   09/25/34   1,086,065 
        Series - 2004 8 (Class A9)                
 1,843,000   g  Taco Bell Funding LLC      4.970   05/25/46   1,950,207 
        Series - 2016 1A (Class A23)                
 18,961,250   g  Taco Bell Funding LLC      4.318   11/25/48   19,364,745 
        Series - 2018 1A (Class A2I)                
185

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$10,250,000   g  Tesla Auto Lease Trust      2.160%  10/20/22  $10,512,038 
        Series - 2019 A (Class A3)                
 3,424,324   g  TLF National Tax Lien Trust      3.090   12/15/29   3,446,346 
        Series - 2017 1A (Class A)                
 498,442   g  TLF National Tax Lien Trust      3.840   12/15/29   502,591 
        Series - 2017 1A (Class B)                
 14,800,000      Toyota Auto Receivables Owner Trust      1.660   05/15/24   15,157,205 
        Series - 2020 A (Class A3)                
 3,800,000   g  Tricon American Homes Trust      4.878   11/17/33   3,795,917 
        Series - 2016 SFR1 (Class E)                
 529,987   g  Tricon American Homes Trust      2.716   09/17/34   539,572 
        Series - 2017 SFR1 (Class A)                
 2,200,000   g  Tricon American Homes Trust      4.011   09/17/34   2,205,783 
        Series - 2017 SFR1 (Class E)                
 99,556   g  Tricon American Homes Trust      2.928   01/17/36   103,476 
        Series - 2017 SFR2 (Class A)                
 500,000   g  Tricon American Homes Trust      3.275   01/17/36   516,892 
        Series - 2017 SFR2 (Class B)                
 8,500,000      Verizon Owner Trust      1.940   04/22/24   8,720,234 
        Series - 2019 C (Class A1A)                
 28,300,000      Verizon Owner Trust      1.850   07/22/24   29,044,573 
        Series - 2020 A (Class A1A)                
 2,257,884   g,i  VOLT LXXV LLC (Step Bond)      3.967   02/25/49   2,268,259 
        Series - 2019 NPL2 (Class A1)                
 800,000   g,i  VOLT LXXV LLC (Step Bond)      3.967   10/25/49   770,233 
        Series - 2019 NPL7 (Class A1B)                
 2,700,000   g,i  VOLT LXXXIV LLC (Step Bond)      3.967   12/27/49   2,611,113 
        Series - 2019 NP10 (Class A1B)                
 14,249,625   g  Wendys Funding LLC      3.573   03/15/48   14,769,024 
        Series - 2018 1A (Class A2I)                
 13,300,000      World Omni Auto Receivables Trust      1.700   01/17/23   13,568,192 
        Series - 2020 A (Class A3)                
        TOTAL ASSET BACKED              635,687,128 
                         
OTHER MORTGAGE BACKED - 10.1%                
 990,351   g,i  Agate Bay Mortgage Trust      3.500   11/25/44   1,023,567 
        Series - 2014 3 (Class A13)                
 498,177   g,i  Agate Bay Mortgage Trust      3.500   09/25/45   515,368 
        Series - 2015 6 (Class A9)                
 374,277   i  Alternative Loan Trust  LIBOR 1 M + 0.500%   0.685   06/25/34   361,476 
        Series - 2004 8CB (Class M1)                
 609,051   i  American Home Mortgage Investment Trust  LIBOR 6 M + 1.500%   2.305   10/25/34   603,238 
        Series - 2004 3 (Class 4A)                
 660,000   i  Ameriquest Mortgage Securities  LIBOR 1 M + 1.020%   1.205   10/25/34   642,183 
        Series - 2004 R9 (Class M3)                
 2,486,000      Banc of America Commercial Mortgage Trust      3.705   09/15/48   2,734,174 
        Series - 2015 UBS7 (Class A4)                
 2,885,000   i  Banc of America Commercial Mortgage Trust      4.505   09/15/48   2,705,477 
        Series - 2015 UBS7 (Class C)                
 1,910,000   i  Banc of America Commercial Mortgage Trust      4.505   09/15/48   2,026,194 
        Series - 2015 UBS7 (Class B)                
 1,591,801      Banc of America Commercial Mortgage Trust      1.559   07/15/49   1,591,680 
        Series - 2016 UB10 (Class A1)                
 6,000,000      Banc of America Commercial Mortgage Trust       3.366   02/15/50   6,424,681 
        Series - 2017 BNK3 (Class ASB)                
186

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$5,000,000      BANK      3.731%  11/15/50  $5,468,340 
        Series - 2017 BNK8 (Class AS)                
 700,000   i  BANK      4.208   11/15/50   647,611 
        Series - 2017 BNK8 (Class C)                
 2,500,000      BANK      3.203   12/15/52   2,721,081 
        Series - 2019 BN23 (Class AS)                
 7,500,000      BANK      3.289   07/15/60   8,085,909 
        Series - 2017 BNK6 (Class ASB)                
 2,000,000      BANK      3.283   11/15/62   2,191,187 
        Series - 2019 BN24 (Class AS)                
 1,200,000   g  BANK      2.500   01/15/63   909,649 
        Series - 2020 BN25 (Class D)                
 2,000,000   g  BBCMS Mortgage Trust      3.821   09/05/32   1,995,343 
        Series - 2013 TYSN (Class C)                
 1,500,000   g,i  BBCMS Mortgage Trust      4.409   08/05/38   1,019,357 
        Series - 2018 CHRS (Class E)                
 2,000,000   g,i  Bear Stearns Commercial Mortgage Securities Trust      5.418   02/11/41   1,654,764 
        Series - 2005 PWR7 (Class E)                
 1,000,000   g  Benchmark Mortgage Trust      2.791   09/15/48   1,030,997 
        Series - 2020 IG2 (Class AM)                
 2,500,000   g,i  Benchmark Mortgage Trust      3.229   09/15/48   2,713,044 
        Series - 2020 IG3 (Class AS)                
 2,500,000   i  Benchmark Mortgage Trust      3.654   09/15/48   2,610,436 
        Series - 2020 IG3 (Class BXA)                
 1,500,000      Benchmark Mortgage Trust      3.419   08/15/52   1,641,497 
        Series - 2019 B12 (Class AS)                
 1,500,000      Benchmark Mortgage Trust      3.231   12/15/72   1,636,196 
        Series - 2019 B15 (Class AS)                
 955,401   g,i  BX Commercial Mortgage Trust  LIBOR 1 M + 0.920%   1.105   10/15/36   949,739 
        Series - 2019 XL (Class A)                
 5,000,000   i  CD Mortgage Trust      3.879   11/10/49   5,029,047 
        Series - 2016 CD2 (Class B)                
 3,030,000   i  CD Mortgage Trust      4.159   11/10/49   2,737,125 
        Series - 2016 CD2 (Class C)                
 9,320,000      CD Mortgage Trust      3.453   02/10/50   10,014,810 
        Series - 2017 CD3 (Class AAB)                
 2,000,000   i  CD Mortgage Trust      4.712   02/10/50   1,868,722 
        Series - 2017 CD3 (Class C)                
 5,000,000   i  CD Mortgage Trust      3.684   08/15/50   5,447,572 
        Series - 2017 CD5 (Class AS)                
 3,000,000      CD Mortgage Trust      2.812   08/15/57   3,211,870 
        Series - 2019 CD8 (Class ASB)                
 1,750,000   i  CF Mortgage Trust      3.603   04/15/52   1,761,524 
        Series - 2020 P1 (Class A2)                
 367,541   i  CHL Mortgage Pass-Through Trust      3.633   02/20/35   358,204 
        Series - 2004 HYB9 (Class 1A1)                
 1,750,000   g,i  Citigroup Commercial Mortgage Trust      3.635   05/10/35   1,796,646 
        Series - 2013 375P (Class B)                
 5,000,000   g  Citigroup Commercial Mortgage Trust      3.341   05/10/36   5,178,411 
        Series - 2019 PRM (Class A)                
 2,000,000   g  Citigroup Commercial Mortgage Trust      3.896   05/10/36   2,049,936 
        Series - 2019 PRM (Class C)                
187

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000   i  Citigroup Commercial Mortgage Trust   3.758%  04/10/48  $518,770 
        Series - 2015 GC29 (Class B)             
 43,096      Citigroup Commercial Mortgage Trust   1.847   11/10/48   43,078 
        Series - 2015 GC35 (Class A1)             
 607,339   i  COBALT CMBS Commercial Mortgage Trust   5.646   04/15/47   604,440 
        Series - 2007 C2 (Class C)             
 6,000,000   g,i  COMM Mortgage Trust   3.712   10/10/29   6,098,613 
        Series - 2017 PANW (Class C)             
 6,863,085      COMM Mortgage Trust   2.853   10/15/45   6,998,152 
        Series - 2012 CR4 (Class A3)             
 1,500,000   g,i  COMM Mortgage Trust   4.948   08/10/46   1,473,616 
        Series - 2013 CR10 (Class C)             
 1,000,000   g,i  COMM Mortgage Trust   5.463   08/10/46   870,441 
        Series - 2013 LC13 (Class D)             
 1,135,000      COMM Mortgage Trust   4.199   03/10/47   1,214,797 
        Series - 2014 UBS2 (Class AM)             
 1,300,384      COMM Mortgage Trust   4.701   03/10/47   1,350,974 
        Series - 2014 UBS2 (Class B)             
 750,000      COMM Mortgage Trust   4.174   05/10/47   795,264 
        Series - 2014 CR17 (Class AM)             
 463,000   i  COMM Mortgage Trust   4.882   07/15/47   435,356 
        Series - 2014 CR18 (Class C)             
 1,500,000   i  COMM Mortgage Trust   4.888   08/10/47   1,442,865 
        Series - 2014 CR19 (Class C)             
 6,400,000      COMM Mortgage Trust   3.917   10/10/47   7,004,902 
        Series - 2014 LC17 (Class A5)             
 2,000,000   i  COMM Mortgage Trust   4.188   10/10/47   2,176,322 
        Series - 2014 LC17 (Class AM)             
 1,951,681      COMM Mortgage Trust   3.040   02/10/48   2,021,275 
        Series - 2015 LC19 (Class ASB)             
 1,000,000   i  COMM Mortgage Trust   3.829   02/10/48   1,030,749 
        Series - 2015 LC19 (Class B)             
 1,500,000   g  COMM Mortgage Trust   3.000   03/10/48   916,061 
        Series - 2015 CR22 (Class E)             
 575,000   i  COMM Mortgage Trust   3.603   03/10/48   601,128 
        Series - 2015 CR22 (Class AM)             
 1,000,000   i  COMM Mortgage Trust   4.244   03/10/48   998,406 
        Series - 2015 CR22 (Class C)             
 2,000,000   g,i  COMM Mortgage Trust   4.244   03/10/48   1,569,826 
        Series - 2015 CR22 (Class D)             
 5,000,000      COMM Mortgage Trust   3.801   05/10/48   5,392,590 
        Series - 2015 CR23 (Class AM)             
 3,826,295   i  COMM Mortgage Trust   4.183   05/10/48   3,956,272 
        Series - 2015 CR23 (Class B)             
 3,000,000   i  COMM Mortgage Trust   4.435   05/10/48   2,535,352 
        Series - 2015 CR23 (Class D)             
 1,250,000   i  COMM Mortgage Trust   4.435   05/10/48   1,235,472 
        Series - 2015 CR23 (Class C)             
 2,613,139      COMM Mortgage Trust   3.432   08/10/48   2,836,993 
        Series - 2015 CR24 (Class A4)             
 1,500,000   i  COMM Mortgage Trust   3.463   08/10/48   1,124,604 
        Series - 2015 CR24 (Class D)             
 3,640,000   i  COMM Mortgage Trust   4.028   08/10/48   3,887,604 
        Series - 2015 CR24 (Class AM)             
188

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,500,000   i  COMM Mortgage Trust      4.523%  08/10/48  $1,411,280 
        Series - 2015 CR24 (Class C)                
 1,500,000   i  COMM Mortgage Trust      4.523   08/10/48   1,556,631 
        Series - 2015 CR24 (Class B)                
 2,250,000   i  COMM Mortgage Trust      4.690   08/10/48   2,358,812 
        Series - 2015 CR25 (Class B)                
 7,600,000      COMM Mortgage Trust      3.630   10/10/48   8,373,484 
        Series - 2015 CR26 (Class A4)                
 1,000,000      COMM Mortgage Trust      3.984   10/10/48   1,067,466 
        Series - 2015 CR27 (Class AM)                
 3,000,000   i  COMM Mortgage Trust      4.511   10/10/48   3,148,156 
        Series - 2015 CR27 (Class B)                
 1,000,000   i  COMM Mortgage Trust      4.630   10/10/48   1,017,615 
        Series - 2015 CR26 (Class B)                
 500,000   i  COMM Mortgage Trust      4.630   10/10/48   491,554 
        Series - 2015 CR26 (Class C)                
 2,400,000   i  COMM Mortgage Trust      4.800   10/10/48   2,343,714 
        Series - 2015 LC23 (Class C)                
 1,080,000      COMM Mortgage Trust      3.762   02/10/49   1,202,651 
        Series - 2016 CR28 (Class A4)                
 5,000,000   i  COMM Mortgage Trust      4.801   02/10/49   5,287,935 
        Series - 2016 CR28 (Class B)                
 1,500,000   i  COMM Mortgage Trust      5.278   08/10/50   1,554,064 
        Series - 2013 CR11 (Class B)                
 5,000,000      COMM Mortgage Trust      3.263   08/15/57   5,388,618 
        Series - 2019 GC44 (Class AM)                
 4,196,311   i  Connecticut Avenue Securities  LIBOR 1 M + 2.600%   2.785   05/25/24   3,669,613 
        Series - 2014 C02 (Class 1M2)                
 293,374   i  Connecticut Avenue Securities  LIBOR 1 M + 2.900%   3.085   07/25/24   269,089 
        Series - 2014 C03 (Class 2M2)                
 10,145,997   i  Connecticut Avenue Securities  LIBOR 1 M + 3.000%   3.185   07/25/24   8,884,291 
        Series - 2014 C03 (Class 1M2)                
 1,136,212   i  Connecticut Avenue Securities  LIBOR 1 M + 5.000%   5.185   11/25/24   1,167,213 
        Series - 2014 C04 (Class 2M2)                
 654,540   i  Connecticut Avenue Securities  LIBOR 1 M + 5.550%   5.735   04/25/28   693,109 
        Series - 2015 C04 (Class 2M2)                
 1,078,272   i  Connecticut Avenue Securities  LIBOR 1 M + 5.700%   5.885   04/25/28   1,133,191 
        Series - 2015 C04 (Class 1M2)                
 2,633,463   i  Connecticut Avenue Securities  LIBOR 1 M + 6.750%   6.935   08/25/28   2,759,655 
        Series - 2016 C01 (Class 1M2)                
 611,895   i  Connecticut Avenue Securities  LIBOR 1 M + 6.000%   6.185   09/25/28   634,515 
        Series - 2016 C02 (Class 1M2)                
 1,550,275   i  Connecticut Avenue Securities  LIBOR 1 M + 5.900%   6.085   10/25/28   1,611,464 
        Series - 2016 C03 (Class 2M2)                
 1,318,693   i  Connecticut Avenue Securities  LIBOR 1 M + 4.450%   4.635   01/25/29   1,347,452 
        Series - 2016 C05 (Class 2M2)                
 2,784,370   i  Connecticut Avenue Securities  LIBOR 1 M + 4.250%   4.435   04/25/29   2,908,232 
        Series - 2016 C06 (Class 1M2)                
 2,912,537   i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   1.035   09/25/29   2,627,698 
        Series - 2017 C02 (Class 2ED4)                
 1,789,936   i  Connecticut Avenue Securities  LIBOR 1 M + 2.200%   2.385   01/25/30   1,797,308 
        Series - 2017 C05 (Class 1M2A)                
 4,000,000   i  Connecticut Avenue Securities  LIBOR 1 M + 0.450%   0.635   07/25/30   3,885,334 
        Series - 2018 C01 (Class 1EB1)                
189

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,614,751   i  Connecticut Avenue Securities  LIBOR 1 M + 0.900%   1.085%  08/25/30  $1,544,617 
        Series - 2018 C02 (Class 2EA2)                
 3,198,252   i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   1.035   10/25/30   3,149,824 
        Series - 2018 C03 (Class 1EA2)                
 218,040   g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.450%   2.635   07/25/31   212,711 
        Series - 2019 R01 (Class 2M2)                
 2,276,622   g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.750%   0.935   01/25/40   2,252,218 
        Series - 2020 R02 (Class 2M1)                
 131,526   g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.800%   0.985   01/25/40   130,778 
        Series - 2020 R01 (Class 1M1)                
 1,000,000   g,i  CPT Mortgage Trust      3.097   11/13/39   900,857 
        Series - 2019 CPT (Class E)                
 1,360,000   g,i  Credit Suisse Commercial Mortgage Trust  LIBOR 1 M + 0.650%   0.835   05/25/36   1,336,475 
        Series - 2006 CF2 (Class M3)                
 4,805,617   g,i  Credit Suisse Commercial Mortgage Trust      3.500   02/25/48   4,972,253 
        Series - 2018 J1 (Class A11)                
 4,000,000      CSAIL Commercial Mortgage Trust      3.314   11/15/49   4,204,592 
        Series - 2016 C7 (Class ASB)                
 4,750,000      DBGS Mortgage Trust      4.466   10/15/51   5,629,572 
        Series - 2018 C1 (Class A4)                
 1,040,000   g  DBUBS Mortgage Trust      3.452   10/10/34   1,115,235 
        Series - 2017 BRBK (Class A)                
 5,600,000   g,i  DBUBS Mortgage Trust      5.714   07/10/44   4,663,530 
        Series - 2011 LC2A (Class D)                
 3,892,000   g,i  DBUBS Mortgage Trust      5.876   11/10/46   3,757,954 
        Series - 2011 LC1A (Class E)                
 4,000,000   g,i  DBUBS Mortgage Trust      5.876   11/10/46   4,023,680 
        Series - 2011 LC1A (Class C)                
 1,100,000   g,i  Ellington Financial Mortgage Trust      3.587   06/25/59   1,041,047 
        Series - 2019 1 (Class M1)                
 1,162,225   i  Fieldstone Mortgage Investment Trust  LIBOR 1 M + 0.735%   0.920   12/25/35   1,148,230 
        Series - 2005 2 (Class M2)                
 4,047,217   g,i  FirstKey Mortgage Trust      3.500   11/25/44   4,165,048 
        Series - 2014 1 (Class A8)                
 3,367,696   g,i  Flagstar Mortgage Trust      3.500   03/25/47   3,419,876 
        Series - 2017 1 (Class 1A5)                
 182,852   g,i  Flagstar Mortgage Trust      3.500   10/25/47   185,107 
        Series - 2017 2 (Class A5)                
 1,322,071   g,i  Flagstar Mortgage Trust      4.111   10/25/47   1,324,056 
        Series - 2017 2 (Class B3)                
 896,647   g,i  Flagstar Mortgage Trust      4.000   09/25/48   916,335 
        Series - 2018 5 (Class A11)                
 7,000,000   g  GRACE Mortgage Trust      3.369   06/10/28   7,017,443 
        Series - 2014 GRCE (Class A)                
 10,500,000   g  GS Mortgage Securities Corp II      3.419   10/10/32   10,502,270 
        Series - 2017 SLP (Class A)                
 1,344,000   g  GS Mortgage Securities Corp II      3.551   04/10/34   1,359,626 
        Series - 2012 ALOH (Class A)                
 2,590,000   i  GS Mortgage Securities Corp II      3.777   05/10/50   2,732,291 
        Series - 2015 GC30 (Class AS)                
 1,500,000   i  GS Mortgage Securities Corp II      4.155   07/10/51   1,754,181 
        Series - 2018 GS10 (Class A5)                
 679,175      GS Mortgage Securities Trust      1.478   05/10/49   678,910 
        Series - 2016 GS2 (Class A1)                
190

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$8,000,000      GS Mortgage Securities Trust      3.467%  03/10/50  $8,598,164 
        Series - 2017 GS5 (Class AAB)                
 8,350,951      GS Mortgage Securities Trust      3.674   03/10/50   9,283,893 
        Series - 2017 GS5 (Class A4)                
 1,000,000   i  GS Mortgage Securities Trust      4.047   03/10/50   1,021,810 
        Series - 2017 GS5 (Class B)                
 4,000,000      GS Mortgage Securities Trust      3.433   05/10/50   4,448,932 
        Series - 2017 GS6 (Class A3)                
 3,000,000   i  GS Mortgage Securities Trust      4.213   05/10/50   2,731,218 
        Series - 2015 GC30 (Class C)                
 3,000,000      GS Mortgage Securities Trust      3.837   11/10/50   3,350,282 
        Series - 2017 GS8 (Class ABP)                
 2,000,000   g  GS Mortgage Securities Trust      3.000   02/10/52   1,330,067 
        Series - 2019 GC38 (Class D)                
 1,000,000   g,i  GS Mortgage Securities Trust      3.668   07/10/52   1,022,420 
        Series - 2019 GC40 (Class DBC)                
 4,643,798   g,i  GS Mortgage-Backed Securities Corp Trust      4.000   11/25/49   4,746,769 
        Series - 2019 PJ2 (Class A4)                
 1,779,086   g,i  GS Mortgage-Backed Securities Corp Trust      4.000   11/25/49   1,825,708 
        Series - 2019 PJ2 (Class A1)                
 4,542,824   g,i  GS Mortgage-Backed Securities Corp Trust      3.500   07/25/50   4,646,929 
        Series - 2020 PJ2 (Class A4)                
 1,541,010   i  HarborView Mortgage Loan Trust  LIBOR 1 M + 0.620%   0.814   08/19/45   1,441,655 
        Series - 2005 11 (Class 2A1A)                
 2,000,000   g  Hudson Yards Mortgage Trust      2.835   08/10/38   2,124,869 
        Series - 2016 10HY (Class A)                
 3,000,000   g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   3,079,560 
        Series - 2016 10HY (Class B)                
 3,500,000   g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   3,495,029 
        Series - 2016 10HY (Class C)                
 4,700,000   g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   4,508,479 
        Series - 2019 55HY (Class D)                
 3,000,000   g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   2,645,312 
        Series - 2019 55HY (Class E)                
 151,145   i  Impac CMB Trust  LIBOR 1 M + 0.660%   0.845   03/25/35   142,717 
        Series - 2004 11 (Class 2A1)                
 1,700,000   g,i  JP Morgan Chase Commercial Mortgage Securities Corp      4.214   01/15/46   1,651,018 
        Series - 2013 C13 (Class D)                
 1,500,000      JP Morgan Chase Commercial Mortgage Securities Corp      4.166   12/15/46   1,620,990 
        Series - 2013 C16 (Class A4)                
 800,000      JP Morgan Chase Commercial Mortgage Securities Corp      3.372   12/15/47   817,369 
        Series - 2013 C10 (Class AS)                
 750,000   i  JP Morgan Chase Commercial Mortgage Securities Corp      4.119   01/15/49   807,003 
        Series - 2015 JP1 (Class AS)                
 500,000      JP Morgan Chase Commercial Mortgage Securities Corp      3.379   09/15/50   530,332 
        Series - 2017 JP7 (Class A3)                
 1,950,128   g,i  JP Morgan Mortgage Trust      2.241   12/25/44   1,884,470 
        Series - 2015 1 (Class B1)                
 345,500   g,i  JP Morgan Mortgage Trust      3.500   05/25/45   354,719 
        Series - 2015 3 (Class A19)                
191

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$1,481,647   g,i  JP Morgan Mortgage Trust   3.500%  10/25/45  $1,531,373 
        Series - 2015 6 (Class A13)             
 663,436   g,i  JP Morgan Mortgage Trust   3.500   05/25/46   670,154 
        Series - 2016 1 (Class A5)             
 746,980   g,i  JP Morgan Mortgage Trust   3.500   05/25/46   772,579 
        Series - 2016 1 (Class A13)             
 369,809   g,i  JP Morgan Mortgage Trust   3.500   01/25/47   381,902 
        Series - 2017 1 (Class A3)             
 5,208,413   g,i  JP Morgan Mortgage Trust   3.500   05/25/47   5,392,324 
        Series - 2017 2 (Class A13)             
 186,042   g,i  JP Morgan Mortgage Trust   3.500   08/25/47   188,251 
        Series - 2017 3 (Class 1A5)             
 1,149,410   g,i  JP Morgan Mortgage Trust   3.500   09/25/48   1,192,038 
        Series - 2018 3 (Class A13)             
 1,469,285   g,i  JP Morgan Mortgage Trust   3.500   10/25/48   1,502,324 
        Series - 2018 4 (Class A5)             
 364,565   g,i  JP Morgan Mortgage Trust   3.500   10/25/48   371,263 
        Series - 2018 4 (Class A13)             
 1,509,573   g,i  JP Morgan Mortgage Trust   3.500   10/25/48   1,548,117 
        Series - 2018 5 (Class A13)             
 506,194   g,i  JP Morgan Mortgage Trust   4.000   01/25/49   511,024 
        Series - 2018 8 (Class A5)             
 1,002,693   g,i  JP Morgan Mortgage Trust   4.000   01/25/49   1,025,069 
        Series - 2018 8 (Class A13)             
 927,790   g,i  JP Morgan Mortgage Trust   4.000   02/25/49   948,484 
        Series - 2018 9 (Class A13)             
 1,038,125   g,i  JP Morgan Mortgage Trust   4.000   05/25/49   1,069,468 
        Series - 2019 1 (Class A3)             
 1,253,061   g,i  JP Morgan Mortgage Trust   4.757   09/25/49   1,327,161 
        Series - 2019 3 (Class B1)             
 81,735   g,i  JP Morgan Mortgage Trust   4.000   11/25/49   82,545 
        Series - 2019 5 (Class A4)             
 3,793,603   g,i  JP Morgan Mortgage Trust   3.883   06/25/50   3,622,082 
        Series - 2020 1 (Class B2)             
 1,000,000   i  JPMBB Commercial Mortgage Securities Trust   4.133   08/15/46   1,073,159 
        Series - 2013 C14 (Class A4)             
 4,364,171      JPMBB Commercial Mortgage Securities Trust   3.493   08/15/47   4,598,264 
        Series - 2014 C21 (Class A4)             
 2,640,000      JPMBB Commercial Mortgage Securities Trust   3.775   08/15/47   2,862,435 
        Series - 2014 C21 (Class A5)             
 1,000,000      JPMBB Commercial Mortgage Securities Trust   3.898   02/15/48   1,008,804 
        Series - 2015 C27 (Class B)             
 1,000,000   i  JPMBB Commercial Mortgage Securities Trust   4.445   02/15/48   914,086 
        Series - 2015 C27 (Class C)             
 2,000,000   i  JPMBB Commercial Mortgage Securities Trust   3.917   05/15/48   2,167,222 
        Series - 2015 C29 (Class AS)             
 1,600,000   i  JPMBB Commercial Mortgage Securities Trust   4.118   05/15/48   1,608,979 
        Series - 2015 C29 (Class B)             
 3,000,000      JPMBB Commercial Mortgage Securities Trust   4.106   08/15/48   3,216,259 
        Series - 2015 C31 (Class AS)             
 5,585,000   i  JPMBB Commercial Mortgage Securities Trust   4.773   08/15/48   5,897,117 
        Series - 2015 C31 (Class B)             
 1,400,000      JPMBB Commercial Mortgage Securities Trust   3.227   10/15/48   1,498,164 
        Series - 2015 C28 (Class A4)             
192

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,400,000      JPMBB Commercial Mortgage Securities Trust      4.023%  12/15/48  $1,508,712 
        Series - 2015 C33 (Class AS)                
 10,425,000      JPMBB Commercial Mortgage Securities Trust      3.576   03/15/49   11,517,027 
        Series - 2016 C1 (Class A5)                
 1,700,000      JPMCC Commercial Mortgage Securities Trust      3.457   03/15/50   1,882,603 
        Series - 2017 JP5 (Class A4)                
 6,000,000      JPMDB Commercial Mortgage Securities Trust      2.536   05/13/53   6,201,682 
        Series - 2020 COR7 (Class AS)                
 1,930,346   g  Ladder Capital Commercial Mortgage Securities      3.575   02/15/36   2,034,118 
        Series - 2013 GCP (Class A1)                
 3,685,304   g  LSTAR Commercial Mortgage Trust      2.579   03/10/49   3,745,005 
        Series - 2016 4 (Class A2)                
 12,000,000   g,i  MAD Mortgage Trust      3.294   08/15/34   12,597,656 
        Series - 2017 330M (Class A)                
 2,882,441   i  Merrill Lynch Mortgage Investors Trust  LIBOR 1 M + 0.260%   2.278   01/25/37   2,653,761 
        Series - 2006 WMC1 (Class A1B)                
 5,000,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.476   11/15/45   5,140,074 
        Series - 2012 C6 (Class AS)                
 3,009,813   g  Morgan Stanley Bank of America Merrill Lynch Trust      3.989   12/15/46   3,119,982 
        Series - 2014 C19 (Class LNC1)                
 2,615,161   g  Morgan Stanley Bank of America Merrill Lynch Trust      4.384   12/15/46   2,671,440 
        Series - 2014 C19 (Class LNC2)                
 2,204,343   g  Morgan Stanley Bank of America Merrill Lynch Trust      4.750   12/15/46   2,220,814 
        Series - 2014 C19 (Class LNC3)                
 3,069,000   i  Morgan Stanley Bank of America Merrill Lynch Trust      5.111   02/15/47   2,959,746 
        Series - 2014 C14 (Class C)                
 1,570,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.832   12/15/47   1,655,308 
        Series - 2014 C19 (Class AS)                
 129,433      Morgan Stanley Bank of America Merrill Lynch Trust      3.069   02/15/48   134,006 
        Series - 2015 C20 (Class ASB)                
 1,000,000      Morgan Stanley Bank of America Merrill Lynch Trust      4.160   02/15/48   1,021,336 
        Series - 2015 C20 (Class B)                
 2,500,000   i  Morgan Stanley Bank of America Merrill Lynch Trust      4.610   02/15/48   2,294,789 
        Series - 2015 C20 (Class C)                
 2,500,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.338   03/15/48   2,656,910 
        Series - 2015 C21 (Class A4)                
 3,649,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.306   04/15/48   3,892,163 
        Series - 2015 C22 (Class A4)                
 3,360,000      Morgan Stanley Bank of America Merrill Lynch Trust      3.561   04/15/48   3,508,507 
        Series - 2015 C22 (Class AS)                
193

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$2,130,000   i  Morgan Stanley Bank of America Merrill Lynch Trust      4.191%  12/15/48  $2,011,827 
        Series - 2013 C8 (Class C)                
 435,000   g,i  Morgan Stanley Capital I      5.375   09/15/47   438,172 
        Series - 2011 C1 (Class B)                
 463,724   i  Morgan Stanley Capital I Trust  LIBOR 1 M + 0.825%   1.010   08/25/34   457,617 
        Series - 2004 HE6 (Class M1)                
 2,912,801   i  Morgan Stanley Capital I Trust      6.215   06/11/42   2,919,023 
        Series - 2007 T27 (Class AJ)                
 3,000,000   g  Morgan Stanley Capital I Trust      4.193   09/15/47   2,743,610 
        Series - 2011 C1 (Class F)                
 2,600,000   g,i  Morgan Stanley Capital I Trust      5.684   09/15/47   2,581,094 
        Series - 2011 C1 (Class D)                
 13,000,000      Morgan Stanley Capital I Trust      2.606   08/15/49   13,488,233 
        Series - 2016 UB11 (Class ASB)                
 515,477   †,i  Morgan Stanley Capital I Trust      6.461   12/12/49   307,224 
        Series - 2007 IQ16 (Class AJ)                
 1,000,000      Morgan Stanley Capital I Trust      4.177   07/15/51   1,170,504 
        Series - 2018 H3 (Class A5)                
 1,500,000   g,i  MSDB Trust      3.427   07/11/39   1,588,770 
        Series - 2017 712F (Class A)                
 1,253,000   g,i  Natixis Commercial Mortgage Securities Trust      3.917   11/15/32   1,256,308 
        Series - 2018 285M (Class C)                
 5,300,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 1.500%   1.685   07/15/36   5,193,926 
        Series - 2019 MILE (Class A)                
 2,500,000   g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 1.800%   1.985   07/15/36   2,403,061 
        Series - 2019 MILE (Class B)                
 1,000,000   g  Natixis Commercial Mortgage Securities Trust      2.707   10/15/36   984,590 
        Series - 2019 1776 (Class B)                
 2,000,000   g  Natixis Commercial Mortgage Securities Trust      2.966   12/15/38   2,082,369 
        Series - 2020 2PAC (Class A)                
 340,393   g,i  New Residential Mortgage Loan Trust      4.000   02/25/57   363,954 
        Series - 2017 1A (Class A1)                
 345,358   g,i  New Residential Mortgage Loan Trust      4.000   08/27/57   368,281 
        Series - 2017 6A (Class A1)                
 391,691   g,i  New Residential Mortgage Loan Trust      4.750   12/25/57   418,038 
        Series - 2018 5A (Class A1)                
 345,039   i  New York Mortgage Trust  LIBOR 1 M + 0.480%   0.665   02/25/36   331,242 
        Series - 2005 3 (Class A1)                
 18,445,000   g  One Market Plaza Trust      3.614   02/10/32   19,304,749 
        Series - 2017 1MKT (Class A)                
 1,000,000   g  RBS Commercial Funding, Inc Trust      3.511   03/11/31   895,111 
        Series - 2013 SMV (Class B)                
 1,281,853   g,i  Sequoia Mortgage Trust      3.500   05/25/45   1,322,100 
        Series - 2015 2 (Class A1)                
 898,708   g,i  Sequoia Mortgage Trust      3.500   11/25/46   918,420 
        Series - 2016 3 (Class A10)                
 125,453   g,i  Sequoia Mortgage Trust      3.500   02/25/47   128,638 
        Series - 2017 1 (Class A4)                
 4,190,432   g,i  Sequoia Mortgage Trust      3.500   02/25/47   4,280,536 
        Series - 2017 2 (Class A4)                
 1,003,565   g,i  Sequoia Mortgage Trust      3.500   02/25/47   1,039,170 
        Series - 2017 2 (Class A19)                
 5,959,238   g,i  Sequoia Mortgage Trust      3.500   04/25/47   6,045,807 
        Series - 2017 3 (Class A4)                
194

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$83,735   g,i  Sequoia Mortgage Trust      3.500%  04/25/47  $86,696 
        Series - 2017 3 (Class A19)                
 220,039   g,i  Sequoia Mortgage Trust      3.500   09/25/47   223,385 
        Series - 2017 6 (Class A4)                
 909,676   g,i  Sequoia Mortgage Trust      3.743   09/25/47   933,856 
        Series - 2017 6 (Class B1)                
 2,686,652   g,i  Sequoia Mortgage Trust      3.500   02/25/48   2,760,986 
        Series - 2018 2 (Class A1)                
 4,070,124   g,i  Sequoia Mortgage Trust      3.500   03/25/48   4,182,555 
        Series - 2018 3 (Class A1)                
 567,493   g,i  Sequoia Mortgage Trust      3.500   03/25/48   577,177 
        Series - 2018 3 (Class A4)                
 766,141   g,i  Sequoia Mortgage Trust      4.000   09/25/48   771,713 
        Series - 2018 7 (Class A4)                
 572,791   g,i  Sequoia Mortgage Trust      4.000   09/25/48   585,574 
        Series - 2018 7 (Class A19)                
 272,939   g,i  Sequoia Mortgage Trust      4.000   11/25/48   278,259 
        Series - 2018 8 (Class A19)                
 3,333,518   g,i  Sequoia Mortgage Trust      4.000   06/25/49   3,422,566 
        Series - 2019 2 (Class A1)                
 1,157,106   g,i  Sequoia Mortgage Trust      4.000   06/25/49   1,180,957 
        Series - 2019 2 (Class A19)                
 6,778,364   g,i  Sequoia Mortgage Trust      3.500   11/25/49   6,967,804 
        Series - 2019 4 (Class A1)                
 6,391,200   g,i  Sequoia Mortgage Trust      3.500   12/25/49   6,622,645 
        Series - 2019 5 (Class A19)                
 11,068,655   g,i  Sequoia Mortgage Trust      3.500   12/25/49   11,378,862 
        Series - 2019 5 (Class A1)                
 6,669,080   g,i  Sequoia Mortgage Trust      3.000   04/25/50   6,976,700 
        Series - 2020 3 (Class A19)                
 257,805   g,i  Shellpoint Co-Originator Trust      3.500   11/25/46   262,877 
        Series - 2016 1 (Class 1A10)                
 981,557   g,i  Shellpoint Co-Originator Trust      3.500   04/25/47   1,011,096 
        Series - 2017 1 (Class A19)                
 337,278   i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 4.150%   4.335   01/25/25   342,319 
        Series - 2015 DN1 (Class M3)                
 721,518   i  STACR  LIBOR 1 M + 3.800%   3.985   03/25/25   731,639 
        Series - 2015 HQ1 (Class M3)                
 942,752   i  STACR  LIBOR 1 M + 1.950%   2.135   05/25/25   945,973 
        Series - 2015 HQ2 (Class M2)                
 2,877,312   i  STACR  LIBOR 1 M + 4.650%   4.835   10/25/28   2,995,032 
        Series - 2016 DNA2 (Class M3)                
 181,396   i  STACR  LIBOR 1 M + 1.300%   1.485   03/25/29   181,196 
        Series - 2016 DNA4 (Class M2)                
 9,775,000   i  STACR  LIBOR 1 M + 3.250%   3.435   07/25/29   9,860,376 
        Series - 2017 DNA1 (Class M2)                
 1,057,752   i  STACR  LIBOR 1 M + 1.200%   1.385   10/25/29   1,058,676 
        Series - 2017 DNA2 (Class M1)                
 986,528   i  STACR  LIBOR 1 M + 0.750%   0.935   03/25/30   986,528 
        Series - 2017 DNA3 (Class M1)                
 5,975,168   i  STACR  LIBOR 1 M + 0.950%   1.135   04/25/30   5,964,545 
        Series - 2017 HQA3 (Class M2AS)                
195

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$600,509   i  STACR  LIBOR 1 M + 2.350%   2.535%  04/25/30  $598,298 
        Series - HQA3 (Class M2)                
 602,985   g,i  STACR      3.726   02/25/48   603,021 
        Series - 2018 SPI1 (Class M1)                
 253,861   g,i  STACR      3.809   05/25/48   253,446 
        Series - 2018 SPI2 (Class M1)                
 1,642,415   g,i  STACR      4.466   11/25/48   1,620,472 
        Series - 2018 SPI4 (Class M2)                
 1,600,000   g,i  STACR  LIBOR 1 M + 2.050%   2.235   11/25/49   1,551,912 
        Series - 2019 HQA4 (Class M2)                
 1,770,000   g,i  STACR  LIBOR 1 M + 1.850%   2.035   02/25/50   1,678,145 
        Series - 2020 DNA2 (Class M2)                
 1,255,000   g,i  STACR  LIBOR 1 M + 3.100%   3.285   03/25/50   1,201,577 
        Series - 2020 HQA2 (Class M2)                
 422,815   g,i  STACR  LIBOR 1 M + 1.100%   1.285   07/27/50   421,066 
        Series - 2020 HQA2 (Class M1)                
 2,000,000   g,i  UBS-Barclays Commercial Mortgage Trust      3.875   04/10/46   1,932,791 
        Series - 2013 C6 (Class B)                
 3,285,000   g  UBS-Citigroup Commercial Mortgage Trust      5.154   01/10/45   3,391,404 
        Series - 2011 C1 (Class AS)                
 2,177,751   g  VSE VOI Mortgage LLC      2.330   03/20/35   2,185,013 
        Series - 2017 A (Class A)                
 1,946,078   g  VSE VOI Mortgage LLC      4.020   02/20/36   1,880,641 
        Series - 2018 A (Class C)                
 8,200,000      Wells Fargo Commercial Mortgage Trust      3.539   10/15/45   8,470,994 
        Series - 2012 LC5 (Class AS)                
 4,372,000      Wells Fargo Commercial Mortgage Trust      3.540   05/15/48   4,761,647 
        Series - 2015 C28 (Class A4)                
 2,100,000   i  Wells Fargo Commercial Mortgage Trust      3.658   05/15/48   2,108,214 
        Series - 2015 NXS1 (Class B)                
 2,000,000   i  Wells Fargo Commercial Mortgage Trust      4.296   05/15/48   1,554,948 
        Series - 2015 NXS1 (Class D)                
 350,000      Wells Fargo Commercial Mortgage Trust      3.637   06/15/48   381,262 
        Series - 2015 C29 (Class A4)                
 5,055,000      Wells Fargo Commercial Mortgage Trust      2.825   10/15/49   5,270,955 
        Series - 2016 LC24 (Class ASB)                
 1,865,142      Wells Fargo Commercial Mortgage Trust      2.749   03/15/50   1,896,326 
        Series - 2017 RB1 (Class A2)                
 387,000      Wells Fargo Commercial Mortgage Trust      3.635   03/15/50   435,185 
        Series - 2017 RB1 (Class A5)                
 2,000,000      Wells Fargo Commercial Mortgage Trust      3.757   03/15/50   2,198,615 
        Series - 2017 RB1 (Class AS)                
 2,900,000      Wells Fargo Commercial Mortgage Trust      3.184   04/15/50   3,092,877 
        Series - 2015 LC20 (Class A5)                
 1,720,000      Wells Fargo Commercial Mortgage Trust      3.467   04/15/50   1,788,006 
        Series - 2015 LC20 (Class AS)                
 2,800,000      Wells Fargo Commercial Mortgage Trust      3.453   07/15/50   3,126,939 
        Series - 2017 C38 (Class A5)                
 3,290,000      Wells Fargo Commercial Mortgage Trust      4.302   01/15/52   3,875,518 
        Series - 2018 C48 (Class A5)                
 2,500,000   i  Wells Fargo Commercial Mortgage Trust      3.972   09/15/57   2,666,142 
        Series - 2015 NXS3 (Class AS)                
 2,500,000   i  Wells Fargo Commercial Mortgage Trust      3.767   07/15/58   2,701,958 
        Series - 2015 NXS2 (Class A5)                
196

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,700,000      Wells Fargo Commercial Mortgage Trust   3.952%  01/15/59  $2,883,795 
        Series - 2016 C32 (Class AS)             
 1,500,000   i  Wells Fargo Commercial Mortgage Trust   4.884   01/15/59   1,577,994 
        Series - 2016 C32 (Class B)             
 1,000,000      Wells Fargo Commercial Mortgage Trust   2.933   11/15/59   1,048,079 
        Series - 2016 C36 (Class ASB)             
 1,794,411   g,i  Wells Fargo Mortgage Backed Securities Trust   4.000   04/25/49   1,848,637 
        Series - 2019 2 (Class A17)             
 7,391,002   g,i  Wells Fargo Mortgage Backed Securities Trust   3.500   09/25/49   7,596,368 
        Series - 2019 4 (Class A1)             
 1,000,000   i  WFRBS Commercial Mortgage Trust   3.714   03/15/45   1,010,959 
        Series - 2013 C11 (Class B)             
 1,000,000      WFRBS Commercial Mortgage Trust   3.345   05/15/45   1,022,371 
        Series - 2013 C13 (Class AS)             
 3,700,000   i  WFRBS Commercial Mortgage Trust   4.079   03/15/46   4,002,516 
        Series - 2013 UBS1 (Class A4)             
 1,000,000   i  WFRBS Commercial Mortgage Trust   4.162   12/15/46   1,070,580 
        Series - 2013 C18 (Class A5)             
 1,664,000   i  WFRBS Commercial Mortgage Trust   4.845   12/15/46   1,508,167 
        Series - 2013 C18 (Class C)             
 2,225,281      WFRBS Commercial Mortgage Trust   3.995   05/15/47   2,398,557 
        Series - 2014 C20 (Class A5)             
 1,250,000      WFRBS Commercial Mortgage Trust   3.607   11/15/47   1,343,213 
        Series - 2014 C24 (Class A5)             
        TOTAL OTHER MORTGAGE BACKED           719,016,811 
                      
        TOTAL STRUCTURED ASSETS           1,354,703,939 
        (Cost $1,353,988,718)             
                      
        TOTAL BONDS           6,761,299,541 
        (Cost $6,418,833,969)             
                      
SHARES      COMPANY            
COMMON STOCKS - 0.0%             
                      
ENERGY - 0.0%             
 9,696   *  Peabody Energy Corp           27,924 
        TOTAL ENERGY           27,924 
                      
        TOTAL COMMON STOCKS           27,924 
        (Cost $133,601)             
                      
PRINCIPAL      ISSUER            
SHORT-TERM INVESTMENTS - 9.4%             
                      
GOVERNMENT AGENCY DEBT - 7.3%             
$20,000,000      Federal Farm Credit Bank (FFCB)   0.100   07/14/20   19,999,134 
 20,000,000      FFCB   0.130   08/03/20   19,997,250 
 40,000,000      Federal Home Loan Bank (FHLB)   0.100   07/09/20   39,998,933 
 25,000,000      FHLB   0.100   07/14/20   24,998,917 
 14,300,000      FHLB   0.100-0.130   07/16/20   14,299,285 
 7,590,000      FHLB   0.100   07/21/20   7,589,494 
 74,640,000      FHLB   0.100-0.133   07/24/20   74,634,277 
197

TIAA-CREF FUNDS – Core Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$32,600,000      FHLB   0.110 - 0.150%  07/31/20  $32,596,740 
 37,100,000      FHLB   0.120   08/11/20   37,093,662 
 33,200,000      FHLB   0.120-0.130   08/14/20   33,193,913 
 25,000,000      FHLB   0.120   08/18/20   24,995,000 
 20,600,000      FHLB   0.130-0.270   09/15/20   20,593,912 
 35,000,000      FHLB   0.140-0.150   09/23/20   34,988,567 
 16,050,000      Federal Home Loan Mortgage Corp (FHLMC)   0.110   07/21/20   16,048,930 
 22,100,000      FHLMC   0.100-0.160   08/19/20   22,095,488 
 25,000,000      FHLMC   0.130   08/24/20   24,994,375 
 30,000,000      FHLMC   0.140   08/27/20   29,992,875 
 20,000,000      FHLMC   0.130   09/17/20   19,993,933 
 20,000,000      Federal National Mortgage Association (FNMA)   0.200   10/16/20   19,991,083 
        TOTAL GOVERNMENT AGENCY DEBT           518,095,768 
                      
REPURCHASE AGREEMENT - 0.3%             
 20,000,000   r  Fixed Income Clearing Corp   0.070   07/01/20   20,000,000 
        TOTAL REPURCHASE AGREEMENT           20,000,000 
                      
TREASURY DEBT - 1.8%             
 49,900,000   j  Egypt Treasury Bill   0.000   08/11/20   3,052,542 
 64,000,000   j  Egypt Treasury Bill   0.000   01/05/21   3,718,132 
 17,745,000      United States Treasury Bill   0.100   07/02/20   17,744,953 
 56,475,000      United States Treasury Bill   0.080-0.100   07/09/20   56,473,400 
 50,000,000      United States Treasury Bill   0.120   07/28/20   49,995,031 
        TOTAL TREASURY DEBT           130,984,058 
                      
        TOTAL SHORT-TERM INVESTMENTS           669,079,826 
        (Cost $669,226,797)             
                      
        TOTAL INVESTMENTS - 105.7%           7,555,131,303 
        (Cost $7,219,729,862)             
        OTHER ASSETS & LIABILITIES, NET - (5.7)%           (407,195,004)
        NET ASSETS - 100.0%          $7,147,936,299 
                        
                        
        Abbreviation(s):             
  DGS1         1-Year Treasury Constant Maturity Rate
DGS5   5-Year Treasury Constant Maturity Rate
DOP   Dominican Republic Peso
EUR   Euro
IDR   Indonesian Rupiah
LIBOR   London Interbank Offered Rate
M   Month
PEN   Peruvian Sol
REIT   Real Estate Investment Trust
RSD   Serbian Dinar
                                   
*   Non-income producing
  Security is categorized as Level 3 in the fair value hierarchy.
  Perpetual security
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $1,364,827,619 or 19.1% of net assets.
r   Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $20,000,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $20,400,051.
198

TIAA-CREF FUNDS – Core Bond Fund

                                   
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
j   Zero coupon
k   Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
o   Payment in Kind Bond
q   In default

 

Forward foreign currency contracts outstanding as of June 30, 2020 were as follows:

 

Currency to be purchased  Receive  Currency to be
sold
  Deliver  Counterparty  Settlement date  Unrealized
appreciation
(depreciation)
 
$  2,958,009  EUR  2,735,000  Australia & New Zealand Banking Group  07/27/20  $(116,674)
$  2,923,102  EUR  2,700,719  Citibank N.A.  08/18/20   (114,460)
Total                 $(231,134)

 

                                   
    Abbreviation(s):
EUR   Euro
199

TIAA-CREF FUNDS – Core Impact Bond Fund

 

TIAA-CREF FUNDS

CORE IMPACT BOND FUND

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2020

 

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
BANK LOAN OBLIGATIONS - 0.1%
                     
TRANSPORTATION - 0.0%               
$2,332,500  i  Delta Air Lines, Inc  LIBOR 1 M + 4.750%   5.510%  04/27/23  $2,284,404 
       TOTAL TRANSPORTATION              2,284,404 
                        
UTILITIES - 0.1%                
 4,647,162  i  ExGen Renewables IV LLC  LIBOR 3 M + 3.000%   4.000   11/28/24   4,496,129 
       TOTAL UTILITIES              4,496,129 
                        
       TOTAL BANK LOAN OBLIGATIONS              6,780,533 
       (Cost $6,903,896)                
                        
BONDS - 98.5%
                        
CORPORATE BONDS - 44.5%
                        
AUTOMOBILES & COMPONENTS - 1.6%
 6,975,000     Aptiv plc      5.400   03/15/49   7,287,996 
 985,000  g,i  BMW US Capital LLC  LIBOR 3 M + 0.500%   0.934   08/13/21   979,845 
 3,625,000  g  BMW US Capital LLC      2.250   09/15/23   3,756,541 
 6,500,000  g  BMW US Capital LLC      3.150   04/18/24   6,957,638 
 9,600,000  g  BMW US Capital LLC      4.150   04/09/30   11,068,704 
 5,400,000     BorgWarner, Inc      2.650   07/01/27   5,529,169 
 2,125,000  g  Harley-Davidson Financial Services, Inc      2.850   01/15/21   2,136,100 
 7,275,000  g,i  Harley-Davidson Financial Services, Inc  LIBOR 3 M + 0.940%   1.284   03/02/21   7,232,812 
 10,500,000  g  Harley-Davidson Financial Services, Inc      4.050   02/04/22   10,822,846 
 9,000,000  g  Harley-Davidson Financial Services, Inc      3.350   06/08/25   9,197,616 
 5,000,000     Magna International, Inc      3.625   06/15/24   5,441,721 
 11,025,000     Magna International, Inc      2.450   06/15/30   11,283,567 
       TOTAL AUTOMOBILES & COMPONENTS           81,694,555 
                        
BANKS - 8.1%
 10,000,000     Bank of America Corp      2.456   10/22/25   10,520,270 
 3,150,000  g  Bank of Montreal      2.100   06/15/22   3,246,241 
 10,000,000  i  Bank of Montreal  SOFR + 0.680%   0.761   03/10/23   9,934,600 
 3,150,000  i  Bank of New York Mellon Corp  DGS5 + 4.358%   4.700   N/A  3,276,000 
 15,375,000     Bank of Nova Scotia      1.300   06/11/25   15,496,535 
 4,850,000  i  Canadian Imperial Bank of Commerce  SOFR + 0.800%   0.881   03/17/23   4,822,791 
 15,000,000     Citigroup, Inc      1.678   05/15/24   15,292,021 
 500,000     Citizens Bank NA      2.650   05/26/22   516,725 
 10,225,000     Citizens Bank NA      2.250   04/28/25   10,850,707 
 3,800,000     Citizens Bank NA      3.750   02/18/26   4,265,380 
 1,125,000     Citizens Financial Group, Inc      2.375   07/28/21   1,139,267 
 9,075,000     Citizens Financial Group, Inc      3.250   04/30/30   9,805,448 
 1,850,000     Cooperatieve Rabobank UA      2.750   01/10/22   1,915,675 
 250,000     Cooperatieve Rabobank UA      3.950   11/09/22   264,517 
 5,000,000  i  Cooperatieve Rabobank UA  LIBOR 3 M + 0.480%   1.791   01/10/23   5,000,278 
200

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$3,037,000     Cooperatieve Rabobank UA      3.750%  07/21/26  $3,338,392 
 14,850,000  g  Credit Agricole S.A.      1.907   06/16/26   15,054,175 
 4,500,000     First Abu Dhabi Bank PJSC      3.000   03/30/22   4,619,101 
 3,225,000     FNB Corp      2.200   02/24/23   3,206,197 
 8,000,000  g  HSBC Bank Canada      1.650   09/10/22   8,172,066 
 8,385,000     HSBC Holdings plc      3.033   11/22/23   8,760,518 
 8,275,000     HSBC Holdings plc      4.950   03/31/30   9,902,958 
 10,000,000  i  ING Groep NV  LIBOR 3 M + 1.000%   1.302   10/02/23   10,044,120 
 10,000,000  g  ING Groep NV      4.625   01/06/26   11,716,351 
 7,213,000  g  Intesa Sanpaolo S.p.A      6.500   02/24/21   7,416,047 
 1,125,000  g  Intesa Sanpaolo S.p.A      5.017   06/26/24   1,152,745 
 10,000,000  g  Intesa Sanpaolo S.p.A      3.250   09/23/24   10,218,314 
 7,200,000  g  Intesa Sanpaolo S.p.A      4.000   09/23/29   7,613,398 
 5,525,000  g  Intesa Sanpaolo S.p.A      4.700   09/23/49   6,042,943 
 6,090,000     KeyBank NA      1.250   03/10/23   6,182,039 
 13,000,000     KeyCorp      2.250   04/06/27   13,595,930 
 2,375,000     KeyCorp      2.550   10/01/29   2,457,830 
 10,000,000  i  M&T Bank Corp  LIBOR 3 M + 0.680%   1.671   07/26/23   10,006,856 
 1,000,000     Manufacturers & Traders Trust Co      2.900   02/06/25   1,087,782 
 4,105,000     Manufacturers & Traders Trust Co      3.400   08/17/27   4,560,522 
 6,475,000     Mitsubishi UFJ Financial Group, Inc      2.527   09/13/23   6,795,828 
 5,925,000  i  Mizuho Financial Group, Inc  LIBOR 3 M + 0.630%   0.990   05/25/24   5,806,533 
 11,125,000     National Australia Bank Ltd      3.625   06/20/23   12,069,575 
 15,250,000  g  National Bank of Canada      2.150   10/07/22   15,674,393 
 11,310,000     People’s United Bank NA      4.000   07/15/24   11,999,178 
 6,250,000     People’s United Financial, Inc      3.650   12/06/22   6,493,672 
 7,695,000  i  PNC Bank NA  LIBOR 3 M + 0.430%   0.743   12/09/22   7,703,763 
 2,993,000     PNC Bank NA      2.950   01/30/23   3,149,122 
 5,000,000     Regions Financial Corp      2.750   08/14/22   5,207,650 
 9,600,000  i  Regions Financial Corp  DGS5 + 5.430%   5.750   N/A  9,881,280 
 8,625,000  i  Royal Bank of Scotland Group plc  DGS1 + 2.150%   2.359   05/22/24   8,854,803 
 11,225,000  g  Shinhan Financial Group Co Ltd      3.340   02/05/30   11,712,482 
 13,600,000  h  Sumitomo Mitsui Financial Group, Inc      1.474   07/08/25   13,597,522 
 11,512,000     SVB Financial Group      3.500   01/29/25   12,170,179 
 9,550,000     SVB Financial Group      3.125   06/05/30   10,226,797 
 10,000,000  i  Toronto-Dominion Bank  LIBOR 3 M + 0.300%   1.060   07/30/21   10,023,239 
 11,350,000     Truist Bank      2.150   12/06/24   11,933,038 
 6,000,000     Truist Financial Corp      3.700   06/05/25   6,786,420 
 3,000,000     Truist Financial Corp      3.875   03/19/29   3,402,417 
 5,000,000  i  Truist Financial Corp  DGS5 + 4.605%   4.950   N/A  5,112,500 
 5,800,000  g  USAA Capital Corp      1.500   05/01/23   5,950,685 
 5,600,000  g  USAA Capital Corp      2.125   05/01/30   5,765,576 
 3,000,000  g  Westpac Banking Corp      2.100   02/25/21   3,031,393 
       TOTAL BANKS              434,842,784 
                        
CAPITAL GOODS - 1.3%
 10,450,000  g  Carrier Global Corp      2.700   02/15/31   10,389,040 
 7,036,000     CNH Industrial Capital LLC      4.875   04/01/21   7,218,904 
 3,000,000     CNH Industrial Capital LLC      3.875   10/15/21   3,074,690 
 4,000,000     CNH Industrial Capital LLC      4.200   01/15/24   4,262,015 
 3,053,000     CNH Industrial NV      3.850   11/15/27   3,217,066 
 3,175,000     Ingersoll-Rand Luxembourg Finance S.A.      3.500   03/21/26   3,470,589 
 8,975,000     Ingersoll-Rand Luxembourg Finance S.A.      3.800   03/21/29   10,154,340 
 10,500,000  g  NBM US Holdings, Inc      6.625   08/06/29   10,654,350 
201

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$2,200,000     Oshkosh Corp      3.100%  03/01/30  $2,215,017 
 2,700,000     Parker-Hannifin Corp      3.250   06/14/29   2,982,627 
 7,375,000     Xylem, Inc      1.950   01/30/28   7,436,783 
 3,575,000     Xylem, Inc      2.250   01/30/31   3,596,535 
       TOTAL CAPITAL GOODS              68,671,956 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 0.6%
 7,500,000     Visa, Inc      1.900   04/15/27   7,838,626 
 8,250,000     Visa, Inc      2.050   04/15/30   8,647,726 
 8,700,000     Visa, Inc      2.700   04/15/40   9,320,295 
 750,000     Waste Management, Inc      2.400   05/15/23   782,182 
 4,750,000     Waste Management, Inc      4.000   07/15/39   4,902,125 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES           31,490,954 
                        
CONSUMER DURABLES & APPAREL - 0.3%
 8,250,000     VF Corp      2.400   04/23/25   8,688,918 
 8,700,000     VF Corp      2.800   04/23/27   9,233,729 
       TOTAL CONSUMER DURABLES & APPAREL           17,922,647 
                        
CONSUMER SERVICES - 1.6%
 10,750,000     Conservation Fund      3.474   12/15/29   11,534,904 
 4,040,000     Henry J Kaiser Family Foundation      3.356   12/01/25   4,309,580 
 4,500,000     Low Income Investment Fund      3.386   07/01/26   4,687,589 
 10,000,000     Low Income Investment Fund      3.711   07/01/29   10,458,533 
 7,850,000     Nature Conservancy      1.767   02/01/24   7,735,653 
 4,100,000     New York Public Library Astor Lenox & Tilden Foundations      4.305   07/01/45   4,495,343 
 90,000     Salvation Army      5.637   09/01/26   108,098 
 5,000,000     Salvation Army      4.528   09/01/48   5,533,323 
 6,850,000     Starbucks Corp      2.450   06/15/26   7,305,437 
 5,500,000     Starbucks Corp      4.450   08/15/49   6,643,580 
 11,440,000     Wisconsin Alumni Research Foundation      3.564   10/01/49   12,423,466 
 5,000,000     YMCA of Greater New York      5.021   08/01/38   5,712,982 
 1,500,000     YMCA of Greater New York      5.151   08/01/48   1,716,910 
       TOTAL CONSUMER SERVICES              82,665,398 
                        
DIVERSIFIED FINANCIALS - 4.9%
 5,000,000     American Express Co      3.000   10/30/24   5,412,668 
 10,000,000     AXA Equitable Holdings, Inc      4.350   04/20/28   11,198,538 
 10,000,000     AXA Equitable Holdings, Inc      5.000   04/20/48   11,387,565 
 2,125,000     Bank of New York Mellon Corp      2.661   05/16/23   2,200,499 
 6,550,000  g  BNP Paribas S.A.      2.219   06/09/26   6,691,752 
 10,750,000     Century Housing Corp      3.995   11/01/21   11,080,667 
 9,220,000     Community Preservation Corp      2.867   02/01/30   8,814,526 
 9,813,000  i  Credit Agricole Corporate & Investment Bank S.A.  LIBOR 3 M + 0.625%   2.062   10/03/21   9,825,061 
 500,000  g  EDP Finance BV      5.250   01/14/21   510,282 
 6,575,000  g  EDP Finance BV      3.625   07/15/24   7,056,816 
 5,820,000     Enterprise Community Loan Fund, Inc      4.152   11/01/28   5,893,701 
 5,000,000  g  Federation des Caisses Desjardins du Quebec      1.950   09/26/22   5,158,073 
 15,000,000     Ford Foundation      2.815   06/01/70   15,546,101 
 16,050,000  g,i  ING Groep NV  DGS1 + 1.100%   1.400   07/01/26   16,087,456 
 10,475,000  i  Lloyds Banking Group plc  DGS1 + 1.100%   1.326   06/15/23   10,536,370 
202

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$10,000,000  i  Lloyds Banking Group plc  DGS1 + 3.500%   3.870%  07/09/25  $10,875,295 
 7,100,000     Morgan Stanley      2.188   04/28/26   7,384,077 
 2,248,000     Reinvestment Fund, Inc      3.166   11/01/23   2,203,975 
 3,000,000     Reinvestment Fund, Inc      3.600   02/15/24   2,968,449 
 2,500,000     Reinvestment Fund, Inc      3.366   11/01/24   2,445,868 
 5,000,000     Reinvestment Fund, Inc      3.513   11/01/25   4,892,522 
 5,000,000     Reinvestment Fund, Inc      3.880   02/15/27   4,943,762 
 9,550,000     Shire Acquisitions Investments Ireland DAC      2.875   09/23/23   10,115,071 
 5,000,000     State Street Corp      2.653   05/15/23   5,189,655 
 10,750,000  i  State Street Corp  SOFR + 0.940%   2.354   11/01/25   11,395,266 
 5,500,000  g,i  Swiss Re Finance Luxembourg SA  DGS5 + 3.582%   5.000   04/02/49   6,149,629 
 10,250,000     Toyota Motor Credit Corp      1.150   05/26/22   10,368,045 
 10,250,000     Toyota Motor Credit Corp      1.350   08/25/23   10,456,466 
 10,500,000     Toyota Motor Credit Corp      1.800   02/13/25   10,883,577 
 2,475,000     Toyota Motor Credit Corp      3.000   04/01/25   2,692,058 
 10,000,000     Toyota Motor Credit Corp      2.150   02/13/30   10,515,252 
 13,750,000     Unilever Capital Corp      2.000   07/28/26   14,624,841 
 5,528,000     Unilever Capital Corp      2.125   09/06/29   5,833,757 
 1,925,000  g  WLB Asset II Pte Ltd      4.000   01/14/24   1,961,074 
       TOTAL DIVERSIFIED FINANCIALS           263,298,714 
                        
ENERGY - 3.1%
 6,075,000     Chevron Corp      1.995   05/11/27   6,360,850 
 5,500,000     Chevron Corp      2.236   05/11/30   5,757,307 
 7,850,000     Chevron Corp      2.978   05/11/40   8,394,773 
 6,829,327  g  Continental Wind LLC      6.000   02/28/33   7,317,514 
 7,600,000     Enbridge, Inc      2.500   01/15/25   7,892,241 
 8,175,000     EQT Corp      6.125   02/01/25   8,146,551 
 1,500,000     Equinor ASA      2.900   11/08/20   1,512,039 
 1,735,000     Equinor ASA      2.750   11/10/21   1,780,299 
 500,000     Equinor ASA      3.150   01/23/22   520,134 
 1,000,000     Equinor ASA      2.450   01/17/23   1,045,940 
 500,000     Equinor ASA      2.650   01/15/24   532,114 
 2,000,000     Equinor ASA      3.700   03/01/24   2,217,507 
 2,675,000     Equinor ASA      1.750   01/22/26   2,739,989 
 3,950,000     Equinor ASA      2.375   05/22/30   4,105,551 
 3,000,000     Equinor ASA      3.950   05/15/43   3,481,780 
 10,705,000     Equinor ASA      3.250   11/18/49   11,372,475 
 2,900,000  g  Greenko Dutch BV      4.875   07/24/22   2,863,750 
 4,825,000     ONEOK, Inc      5.850   01/15/26   5,509,712 
 1,925,000     ONEOK, Inc      4.000   07/13/27   1,953,546 
 7,246,000     ONEOK, Inc      3.400   09/01/29   7,046,565 
 6,125,000     ONEOK, Inc      6.350   01/15/31   7,168,339 
 3,350,000     ONEOK, Inc      4.950   07/13/47   3,225,506 
 10,000,000     ONEOK, Inc      4.450   09/01/49   9,275,020 
 5,000,000  g  TerraForm Power Operating LLC      5.000   01/31/28   5,225,000 
 5,869,000     Total Capital International S.A.      3.750   04/10/24   6,486,704 
 7,600,000     Total Capital International S.A.      2.829   01/10/30   8,264,247 
 12,850,000     Total Capital International S.A.      2.986   06/29/41   13,096,074 
 7,050,000     Total Capital International S.A.      3.127   05/29/50   7,196,282 
 12,650,000     Total Capital International S.A.      3.386   06/29/60   13,019,483 
       TOTAL ENERGY              163,507,292 
203

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
FOOD, BEVERAGE & TOBACCO - 0.8%
$9,000,000     Coca-Cola Co      1.750%  09/06/24  $9,443,969 
 7,200,000     Coca-Cola Co      2.125   09/06/29   7,669,452 
 8,125,000     Coca-Cola Co      2.600   06/01/50   8,209,045 
 4,675,000     General Mills, Inc      2.875   04/15/30   5,082,542 
 2,625,000     PepsiCo, Inc      2.625   03/19/27   2,869,071 
 8,661,000     PepsiCo, Inc      2.875   10/15/49   9,373,076 
       TOTAL FOOD, BEVERAGE & TOBACCO           42,647,155 
                        
HEALTH CARE EQUIPMENT & SERVICES - 0.5%
 5,500,000     Becton Dickinson & Co      1.348   06/06/22   5,513,978 
 10,000,000     Becton Dickinson & Co      2.823   05/20/30   10,599,985 
 10,000,000  i  Cigna Corp  LIBOR 3 M + 0.890%   2.109   07/15/23   10,049,014 
 1,000,000     Laboratory Corp of America Holdings      3.200   02/01/22   1,037,312 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES           27,200,289 
                        
HOUSEHOLD & PERSONAL PRODUCTS - 0.5%
 5,900,000     Kimberly-Clark Corp      3.950   11/01/28   7,043,376 
 6,925,000     Procter & Gamble Co      2.800   03/25/27   7,714,402 
 5,300,000     Procter & Gamble Co      3.000   03/25/30   6,073,082 
 3,350,000     Procter & Gamble Co      3.550   03/25/40   4,040,110 
 3,150,000     Procter & Gamble Co      3.600   03/25/50   3,921,400 
       TOTAL HOUSEHOLD & PERSONAL PRODUCTS           28,792,370 
                        
INSURANCE - 1.1%
 4,800,000  g,h  Equitable Financial Life Global Funding      1.400   07/07/25   4,809,754 
 3,750,000  g  Five Corners Funding Trust      4.419   11/15/23   4,176,145 
 13,325,000  g  Five Corners Funding Trust II      2.850   05/15/30   13,740,196 
 6,750,000  g  Principal Life Global Funding II      1.250   06/23/25   6,770,553 
 5,000,000     Progressive Corp      3.700   01/26/45   5,845,704 
 1,000,000     Prudential Financial, Inc      5.375   05/15/45   1,055,600 
 5,000,000     Prudential plc      3.125   04/14/30   5,370,255 
 5,000,000  g  Swiss Re Treasury US Corp      2.875   12/06/22   5,146,304 
 6,674,000  g  Swiss Re Treasury US Corp      4.250   12/06/42   8,156,580 
 2,075,000     Travelers Cos, Inc      2.550   04/27/50   2,050,213 
       TOTAL INSURANCE              57,121,304 
                        
MATERIALS - 2.7%
 12,700,000     3M Co      2.000   02/14/25   13,374,610 
 5,000,000     3M Co      2.650   04/15/25   5,407,258 
 5,000,000     3M Co      3.050   04/15/30   5,660,939 
 10,588,000  g  Air Liquide Finance S.A.      2.500   09/27/26   11,421,771 
 11,250,000  g  Air Liquide Finance S.A.      2.250   09/10/29   11,572,455 
 4,400,000     Bemis Co, Inc      2.630   06/19/30   4,510,152 
 7,250,000  g  Celulosa Arauco y Constitucion S.A.      4.200   01/29/30   7,385,938 
 10,000,000  g  Celulosa Arauco y Constitucion S.A.      5.150   01/29/50   9,940,100 
 5,000,000     Commercial Metals Co      5.750   04/15/26   5,125,000 
 11,575,000     DuPont de Nemours, Inc      2.169   05/01/23   11,792,031 
 1,350,000     International Flavors & Fragrances, Inc      3.400   09/25/20   1,356,753 
 1,934,000     International Paper Co      4.800   06/15/44   2,305,832 
 6,375,000     International Paper Co      4.350   08/15/48   7,518,875 
 5,750,000  g  Inversiones CMPC S.A.      4.375   04/04/27   6,138,125 
 10,000,000  g  Klabin Austria GmbH      7.000   04/03/49   10,400,000 
                        
204

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$7,225,000  g  Klabin Finance S.A.      4.875%  09/19/27  $7,405,697 
EUR 2,500,000  g  LG Chem Ltd      0.500   04/15/23   2,756,555 
$5,100,000  g  LG Chem Ltd      3.625   04/15/29   5,547,927 
 5,000,000     Newmont Corp      2.250   10/01/30   5,066,019 
 2,950,000     Steel Dynamics, Inc      2.400   06/15/25   3,038,312 
 4,850,000     Steel Dynamics, Inc      3.250   01/15/31   4,928,953 
 5,150,000  g  Teck Resources Ltd      3.900   07/15/30   5,138,504 
       TOTAL MATERIALS              147,791,806 
                        
MEDIA - 0.0%
 2,320,000     Smithsonian Institution      2.645   09/01/39   2,391,189 
       TOTAL MEDIA              2,391,189 
                        
MEDIA & ENTERTAINMENT - 0.2%
 3,000,000     Discovery Communications LLC      5.000   09/20/37   3,549,736 
 5,960,000  g  Schlumberger Finance Canada Ltd      2.200   11/20/20   5,997,636 
       TOTAL MEDIA & ENTERTAINMENT           9,547,372 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 2.6%
 10,000,000  g,i  AbbVie, Inc  LIBOR 3 M + 0.650%   1.024   11/21/22   10,029,380 
 6,400,000     Biogen, Inc      2.250   05/01/30   6,458,546 
 5,000,000  g  Bristol-Myers Squibb Co      2.750   02/15/23   5,271,878 
 5,000,000  g  Bristol-Myers Squibb Co      3.450   11/15/27   5,754,321 
 4,000,000  i  GlaxoSmithKline Capital plc  LIBOR 3 M + 0.350%   0.774   05/14/21   4,006,687 
 5,750,000     GlaxoSmithKline Capital, Inc      3.625   05/15/25   6,489,506 
 18,450,000     Merck & Co, Inc      0.750   02/24/26   18,434,710 
 9,075,000     Merck & Co, Inc      1.450   06/24/30   9,093,225 
 15,600,000     Merck & Co, Inc      2.350   06/24/40   15,871,881 
 13,700,000     Merck & Co, Inc      2.450   06/24/50   13,749,471 
 5,674,000  g  Roche Holdings, Inc      2.375   01/28/27   6,095,319 
 15,750,000  h  Takeda Pharmaceutical Co Ltd      2.050   03/31/30   15,589,204 
 8,025,000  h  Takeda Pharmaceutical Co Ltd      3.025   07/09/40   8,086,191 
 14,625,000  h  Takeda Pharmaceutical Co Ltd      3.175   07/09/50   14,681,851 
 1,150,000     Zoetis, Inc      3.450   11/13/20   1,159,969 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   140,772,139 
                        
REAL ESTATE - 2.5%
 4,995,000     Alexandria Real Estate Equities, Inc      4.000   01/15/24   5,520,513 
 9,900,000     Boston Properties LP      3.250   01/30/31   10,649,183 
 1,975,000     Brandywine Operating Partnership LP      3.950   02/15/23   2,034,134 
 4,300,000     Brandywine Operating Partnership LP      3.950   11/15/27   4,414,338 
 6,875,000     Brixmor Operating Partnership LP      3.900   03/15/27   7,066,993 
 2,450,000     Camden Property Trust      2.800   05/15/30   2,646,702 
 6,350,000     Crown Castle International Corp      2.250   01/15/31   6,395,837 
 10,175,000     Crown Castle International Corp      3.250   01/15/51   10,154,338 
 5,000,000     Digital Realty Trust LP      3.950   07/01/22   5,297,516 
 4,000,000     Duke Realty LP      2.875   11/15/29   4,362,322 
 2,350,000     Equinix, Inc      1.800   07/15/27   2,352,420 
 13,150,000     Equinix, Inc      2.150   07/15/30   12,989,965 
 6,600,000  g  HAT Holdings I LLC      5.250   07/15/24   6,732,000 
 3,975,000  g  HAT Holdings I LLC      6.000   04/15/25   4,163,813 
 3,600,000     Healthpeak Properties, Inc      2.875   01/15/31   3,695,777 
205

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$11,141,000     Host Hotels & Resorts LP      3.375%  12/15/29  $10,651,057 
 4,725,000     Kilroy Realty LP      3.450   12/15/24   4,953,256 
 6,700,000     Kilroy Realty LP      4.750   12/15/28   7,511,749 
 9,157,000     Regency Centers LP      3.750   06/15/24   9,629,868 
 8,650,000     Welltower, Inc      2.750   01/15/31   8,606,118 
       TOTAL REAL ESTATE              129,827,899 
                        
RETAILING - 0.9%
 7,200,000     Home Depot, Inc      2.500   04/15/27   7,887,749 
 16,050,000     Home Depot, Inc      2.700   04/15/30   17,620,164 
 5,000,000     Home Depot, Inc      3.350   04/15/50   5,702,093 
 3,150,000     Lowe’s Cos, Inc      5.000   04/15/40   4,092,220 
 11,900,000     Target Corp      2.250   04/15/25   12,729,692 
       TOTAL RETAILING              48,031,918 
                        
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.3%
 7,000,000  g  NXP BV      3.400   05/01/30   7,532,350 
 7,575,000     Texas Instruments, Inc      3.875   03/15/39   9,387,825 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT           16,920,175 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 0.2%
 5,750,000     Apple, Inc      3.000   06/20/27   6,422,263 
 3,425,000  g  Seagate HDD Cayman      4.125   01/15/31   3,588,278 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           10,010,541 
                        
TRANSPORTATION - 2.5%
 10,000,000     Canadian Pacific Railway Co      2.050   03/05/30   10,232,206 
 6,105,000     CSX Corp      3.800   11/01/46   6,918,599 
 2,735,345     Delta Air Lines, Inc      4.250   07/30/23   2,492,902 
 2,850,000     Delta Air Lines, Inc      3.204   04/25/24   2,853,298 
 15,700,000     Delta Air Lines, Inc      3.404   04/25/24   13,863,609 
 10,100,000     Delta Air Lines, Inc      2.900   10/28/24   8,191,255 
 6,225,000  g  Delta Air Lines, Inc      7.000   05/01/25   6,425,869 
 9,200,000     Delta Air Lines, Inc      7.375   01/15/26   8,900,063 
 5,700,000     Delta Air Lines, Inc      2.000   06/10/28   5,432,713 
 12,000,000     Delta Air Lines, Inc      2.500   06/10/28   10,761,297 
 10,650,000     GATX Corp      4.000   06/30/30   11,443,835 
 2,500,000     Kansas City Southern      4.300   05/15/43   2,969,353 
 2,500,000     Kansas City Southern      4.950   08/15/45   3,210,629 
 500,000     Norfolk Southern Corp      2.900   06/15/26   553,636 
 5,370,308     Union Pacific Railroad Co      3.227   05/14/26   5,909,792 
 6,157,769     Union Pacific Railroad Co      2.695   05/12/27   6,579,072 
 2,715,000  i  United Parcel Service, Inc  LIBOR 3 M + 0.150%   0.446   04/01/21   2,715,108 
 5,000,000  i  United Parcel Service, Inc  LIBOR 3 M + 0.380%   0.766   05/16/22   5,012,050 
 7,500,000  i  United Parcel Service, Inc  LIBOR 3 M + 0.450%   0.746   04/01/23   7,500,000 
 10,000,000     United Parcel Service, Inc      3.750   11/15/47   11,534,638 
       TOTAL TRANSPORTATION              133,499,924 
                        
UTILITIES - 8.2%
 10,750,000  g,i  AES Gener S.A.  DGS5 + 4.917%   6.350   10/07/79   10,803,750 
 3,925,000     American Water Capital Corp      2.800   05/01/30   4,267,535 
 4,600,000     American Water Capital Corp      3.450   05/01/50   5,168,153 
206

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$4,375,000     Arizona Public Service Co      3.750%  05/15/46  $4,944,998 
 11,800,000     Avangrid, Inc      3.150   12/01/24   12,739,208 
 15,749,000     Avangrid, Inc      3.200   04/15/25   17,210,194 
 7,500,000     Avangrid, Inc      3.800   06/01/29   8,708,848 
 5,025,000     Avista Corp      4.350   06/01/48   6,188,826 
 800,000  g  Azure Power Energy Ltd      5.500   11/03/22   806,352 
 5,025,000  g  Azure Power Solar Energy Pvt Ltd      5.650   12/24/24   5,054,126 
 10,000,000  g  Brooklyn Union Gas Co      4.487   03/04/49   12,422,547 
 5,425,000     Clearway Energy Operating LLC      5.750   10/15/25   5,633,320 
 3,250,000  g  Clearway Energy Operating LLC      4.750   03/15/28   3,314,805 
 3,050,000  i  CMS Energy Corp  DGS5 + 4.116%   4.750   06/01/50   3,109,774 
 8,170,000  g  Consorcio Transmantaro SA      4.700   04/16/34   9,099,337 
 4,200,000     Consumers Energy Co      2.500   05/01/60   4,003,772 
 1,693,000  i  Dominion Energy Gas Holdings LLC  LIBOR 3 M + 0.600%   0.913   06/15/21   1,690,581 
 8,850,000     Dominion Energy Gas Holdings LLC      2.500   11/15/24   9,329,882 
 7,115,000     Dominion Energy, Inc      3.600   03/15/27   7,870,337 
 4,850,000  i  Dominion Energy, Inc (Step Bond)      3.071   08/15/24   5,210,050 
 6,044,000     DTE Electric Co      4.050   05/15/48   7,443,090 
 5,000,000     DTE Electric Co      3.950   03/01/49   6,081,020 
 12,000,000     DTE Energy Co      2.850   10/01/26   12,744,101 
 10,750,000     Duke Energy Florida LLC      2.500   12/01/29   11,624,763 
 3,350,000  g  East Ohio Gas Co      1.300   06/15/25   3,368,368 
 3,100,000  g  East Ohio Gas Co      2.000   06/15/30   3,093,462 
 9,559,000  g  Electricite de France S.A.      3.625   10/13/25   10,728,810 
 10,000,000     Essential Utilities, Inc      2.704   04/15/30   10,452,912 
 11,800,000     Essential Utilities, Inc      3.351   04/15/50   12,295,612 
 2,425,000     Florida Power & Light Co      2.850   04/01/25   2,652,234 
 2,261,000     Fortis, Inc      3.055   10/04/26   2,439,587 
 6,232,000     Georgia Power Co      3.250   04/01/26   6,771,608 
 13,850,000  g  Hanwha Energy USA Holdings Corp      2.375   07/30/22   14,199,840 
 7,925,000  g  Korea Hydro & Nuclear Power Co Ltd      3.750   07/25/23   8,578,107 
 5,000,000     MidAmerican Energy Co      3.100   05/01/27   5,615,615 
 2,375,000     MidAmerican Energy Co      3.650   04/15/29   2,833,907 
 2,430,000     MidAmerican Energy Co      3.650   08/01/48   2,877,008 
 4,250,000     MidAmerican Energy Co      3.150   04/15/50   4,683,628 
 4,250,000  g  Narragansett Electric Co      3.395   04/09/30   4,785,970 
 12,626,000     National Fuel Gas Co      5.500   01/15/26   13,430,523 
 3,225,000  g  NextEra Energy Operating Partners LP      4.250   07/15/24   3,261,281 
 1,000,000  g  NextEra Energy Operating Partners LP      4.250   09/15/24   1,000,000 
 750,000  g  Niagara Mohawk Power Corp      4.278   10/01/34   896,616 
 8,758,000     NorthWestern Corp      4.176   11/15/44   10,344,987 
 5,450,000     Oklahoma Gas & Electric Co      3.250   04/01/30   6,007,232 
 5,600,000  g  Pattern Energy Group, Inc      5.875   02/01/24   5,628,000 
 8,050,000  g  Protective Life Global Funding      1.082   06/09/23   8,114,661 
 5,925,000     PSEG Power LLC      3.850   06/01/23   6,397,649 
 3,625,000     Public Service Co of Colorado      3.200   03/01/50   4,050,491 
 1,000,000     Public Service Co of New Hampshire      3.500   11/01/23   1,085,293 
 2,975,000     Public Service Co of New Hampshire      3.600   07/01/49   3,479,807 
 8,700,000     Public Service Electric & Gas Co      3.200   08/01/49   9,688,549 
 1,000,020     San Diego Gas & Electric Co      1.914   02/01/22   1,004,513 
 7,500,000     San Diego Gas & Electric Co      4.150   05/15/48   9,049,469 
 1,000,000     Sempra Energy      2.875   10/01/22   1,035,888 
 10,000,000     Sempra Energy      4.875   N/A  10,000,000 
 2,587,555  g  Solar Star Funding LLC      3.950   06/30/35   2,605,931 
207

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$5,110,870  g  Solar Star Funding LLC      5.375%  06/30/35  $5,857,014 
 7,000,000     Southern Power Co      2.500   12/15/21   7,175,926 
 10,815,000     Southern Power Co      4.150   12/01/25   12,355,818 
 2,200,000     Southwest Gas Corp      2.200   06/15/30   2,257,669 
 5,275,000     Southwestern Public Service Co      3.750   06/15/49   6,028,823 
 4,400,000     Southwestern Public Service Co      3.150   05/01/50   4,759,553 
 9,795,600  g  Star Energy Geothermal Wayang Windu Ltd      6.750   04/24/33   10,188,723 
 8,568,632  g  Topaz Solar Farms LLC      4.875   09/30/39   9,439,748 
 900,106  g  Topaz Solar Farms LLC      5.750   09/30/39   1,062,819 
 8,250,000     Westar Energy, Inc      2.550   07/01/26   8,802,043 
       TOTAL UTILITIES              435,855,063 
                        
       TOTAL CORPORATE BONDS              2,374,503,444 
       (Cost $2,262,561,837)                
                        
GOVERNMENT BONDS - 43.2%
                        
AGENCY SECURITIES - 6.3%
 554,348     ALEX Alpha LLC      1.617   08/15/24   562,667 
 1,756,000     Canal Barge Co, Inc      4.500   11/12/34   2,116,622 
 3,312,061     CES MU2 LLC      1.994   05/13/27   3,429,158 
 3,805,120     Crowley Conro LLC      4.181   08/15/43   4,780,820 
 1,451,531     Dragon 2012 LLC      1.972   03/12/24   1,482,177 
 2,291,667     DY8 Leasing LLC      2.565   11/26/25   2,385,283 
 2,500,000     DY8 Leasing LLC      2.627   04/29/26   2,620,644 
 3,405,354     DY9 Leasing LLC      2.415   06/30/27   3,530,919 
 6,200,754     Ethiopian Leasing LLC      2.566   08/14/26   6,514,199 
 448,048     Excalibur One 77B LLC      1.492   01/01/25   453,175 
 2,649,149     Export Lease Ten Co LLC      1.650   05/07/25   2,691,247 
 4,150,000     Federal Home Loan Mortgage Corp (FHLMC)      1.125   08/12/21   4,194,230 
 23,000,000     FHLMC      0.375   05/05/23   23,059,745 
 14,000,000     FHLMC      1.500   02/12/25   14,660,403 
 8,600,000     Federal National Mortgage Association (FNMA)      0.625   04/22/25   8,670,384 
 4,374,999     Harar Leasing 2013 LLC      2.582   07/02/25   4,552,577 
 7,909,000     Hashemite Kingdom of Jordan Government AID International Bond      3.000   06/30/25   8,771,057 
 863,604     Helios Leasing I LLC      1.734   07/24/24   878,324 
 2,165,501     Helios Leasing II LLC      2.668   03/18/25   2,254,633 
 9,410,405     HNA LLC      2.291   06/30/27   9,866,938 
 6,078,255     HNA LLC      2.369   09/18/27   6,394,891 
 380,000  g  Hospital for Special Surgery      3.500   01/01/23   392,442 
 929,000  i  Housing and Urban Development Corp Ltd  LIBOR 6 M + 0.035%   0.773   09/15/30   927,805 
 7,192,000     Iraq Government AID International Bond      2.149   01/18/22   7,411,826 
 1,444,443  i  Jupiter Aircraft Leasing LLC  LIBOR 3 M + 0.240%   0.621   08/19/23   1,415,164 
 1,805,552  i  Jupiter Aircraft Leasing LLC  LIBOR 3 M + 0.240%   0.546   09/22/23   1,766,875 
 1,690,559     Lulwa Ltd      1.831   03/26/25   1,725,015 
 3,807,504     Mexican Aircraft Finance IV LLC      2.537   07/13/25   3,954,123 
 6,105,375     Mexican Aircraft Finance V LLC      2.329   01/14/27   6,383,654 
 1,960,000     Montefiore Medical Center      2.152   10/20/26   2,023,540 
 6,423,000     NCUA Guaranteed Notes      3.450   06/12/21   6,620,170 
 2,230,000     New York Society for the Relief of the Ruptured & Crippled      2.881   12/20/31   2,351,459 
 840,967  j  Overseas Private Investment Corp (OPIC)      0.000   07/17/21   903,246 
208

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY DATE  VALUE 
$1,493,138     OPIC      2.290%  09/15/26  $1,544,290 
 1,865,002     OPIC      2.040   12/15/26   1,911,435 
 4,797,874     OPIC      3.220   09/15/29   5,321,166 
 888,495     OPIC      3.280   09/15/29   988,075 
 6,000,000     OPIC      1.790   10/15/29   6,238,100 
 15,000,000     OPIC      2.360   10/15/29   15,992,755 
 1,051,200     OPIC      4.140   05/15/30   1,218,164 
 147,061     OPIC      3.540   06/15/30   164,795 
 156,716     OPIC      3.370   12/15/30   174,253 
 917,419     OPIC      3.330   05/15/33   1,033,476 
 1,062,239     OPIC      2.810   07/31/33   1,164,113 
 849,791     OPIC      2.940   07/31/33   938,972 
 1,234,064     OPIC      3.250   07/31/33   1,389,638 
 6,251,520     OPIC      2.040   06/15/35   6,460,680 
 1,231,360     OPIC      2.220   06/15/35   1,289,679 
 947,200     OPIC      3.050   06/15/35   1,052,789 
 3,552,000     OPIC      3.480   06/15/35   4,065,942 
 4,925,440     OPIC      3.590   06/15/35   5,689,779 
 10,000,000     OPIC      2.290   07/15/38   10,496,823 
 5,500,000     OPIC      2.450   07/15/38   5,795,744 
 7,550,000     OPIC      3.190   07/15/38   8,551,158 
 3,267,897     Penta Aircraft Leasing LLC      1.691   04/29/25   3,323,272 
 1,058,824     Phoenix LLC      1.607   07/03/24   1,073,489 
 1,536,243     Portmarnock Leasing LLC      1.741   10/22/24   1,561,725 
 1,000,000     Private Export Funding Corp (PEFCO)      3.550   01/15/24   1,089,692 
 6,040,000     PEFCO      1.750   11/15/24   6,363,655 
 1,000,000     PEFCO      3.250   06/15/25   1,122,054 
 3,819,007     Rimon LLC      2.623   06/25/26   4,012,257 
 3,232,509     Sandalwood LLC      2.836   07/10/25   3,386,766 
 4,724,436     Sandalwood LLC      2.897   07/10/25   4,949,889 
 3,444,313     Sandalwood LLC      2.821   02/12/26   3,617,903 
 5,827,637     Santa Rosa Leasing LLC      1.472   11/03/24   5,891,285 
 2,838,603     Tagua Leasing LLC      1.732   09/18/24   2,890,294 
 3,158,389     Tagua Leasing LLC      1.581   11/16/24   3,205,715 
 755,000     Tunisia Government AID International Bonds      1.416   08/05/21   749,549 
 3,121,999     Ulani MSN 35939 LLC      2.553   07/26/25   3,243,065 
 2,333,334     Ulani MSN 35940 LLC      2.227   05/16/25   2,400,524 
 2,195,218     Ulani MSN 37894      2.184   12/20/24   2,274,176 
 1,850,000     United States International Development Finance Corp      1.050   10/15/29   1,843,740 
 185,000     UNM Sandoval Regional Medical Center      4.500   07/20/36   187,344 
 3,663,000     US Department of Housing and Urban Development (HUD)      1.980   08/01/20   3,668,409 
 410,000     HUD      2.450   08/01/20   410,776 
 150,000     HUD      3.430   08/01/20   150,414 
 2,000,000     HUD      2.570   08/01/21   2,048,312 
 1,361,000     HUD      2.450   08/01/22   1,420,654 
 2,500,000     HUD      2.618   08/01/23   2,666,433 
 2,000,000     HUD      2.800   08/01/23   2,144,282 
 500,000     HUD      2.910   08/01/23   513,864 
 3,000,000     HUD      2.960   08/01/24   3,079,767 
 3,726,000     HUD      2.870   08/01/27   4,233,426 
 455,000     HUD      5.380   08/01/27   456,771 
 4,675,000     HUD      2.985   08/01/28   5,406,755 
 1,931,000     HUD      3.185   08/01/29   2,227,494 
 1,523,296     VCA Lease LLC      1.859   03/08/25   1,554,628 
209

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$5,498,884     VCH Lease S.A.      1.736%  05/15/25  $5,598,094 
 4,096,877     VCK Lease S.A.      2.591   07/24/26   4,299,889 
 1,208,333     VCM Lease S.A.      2.516   09/28/27   1,267,366 
 785,000     Vessel Management Services, Inc      3.432   08/15/36   910,773 
 277,000     Vessel Management Services, Inc      3.477   01/16/37   322,455 
 3,412,694  i  Washington Aircraft 2 Co Ltd  LIBOR 3 M + 0.430%   0.714   06/26/24   3,363,919 
 2,168,346     Windermere Aviation LLC      2.351   05/27/26   2,261,434 
 3,218,882     Zarapito Leasing LLC      2.628   11/12/26   3,395,503 
       TOTAL AGENCY SECURITIES              335,815,050 
                        
FOREIGN GOVERNMENT BONDS - 5.9%
 1,740,000     African Development Bank      2.375   09/23/21   1,783,647 
 4,000,000     African Development Bank      3.000   12/06/21   4,154,835 
 12,750,000     African Development Bank      0.750   04/03/23   12,902,030 
 1,000,000     Asian Development Bank      1.875   08/10/22   1,032,950 
 1,000,000     Asian Development Bank      2.125   03/19/25   1,077,138 
 8,500,000     Asian Development Bank      1.750   08/14/26   9,061,984 
 11,000,000     Asian Development Bank      3.125   09/26/28   12,972,860 
 6,000,000  g  Bank Nederlandse Gemeenten NV      2.125   12/14/20   6,049,303 
 7,500,000  g  BNG Bank NV      2.625   02/27/24   8,096,785 
 99,976  g  Carpintero Finance Ltd      2.004   09/18/24   102,372 
EUR 4,000,000     Chile Government International Bond      0.830   07/02/31   4,381,444 
$9,500,000     Chile Government International Bond      3.500   01/25/50   10,678,095 
 10,498,000     European Bank for Reconstruction & Development      1.875   07/15/21   10,668,768 
 200,000  i  European Bank for Reconstruction & Development  LIBOR 3 M + 0.010%   0.458   05/11/22   199,740 
 15,000,000     European Bank for Reconstruction & Development      1.625   09/27/24   15,747,265 
 1,000,000     European Bank for Reconstruction & Development      1.500   02/13/25   1,041,989 
 2,225,000     European Investment Bank      2.000   03/15/21   2,251,963 
 1,250,000     European Investment Bank      2.375   05/24/27   1,394,406 
 10,500,000     European Investment Bank      1.625   10/09/29   11,227,188 
 9,300,000  g  European Stability Mechanism      1.375   09/11/24   9,640,857 
 3,650,000  g  Guatemala Government International Bond      5.375   04/24/32   4,031,425 
 1,694,000     Hashemite Kingdom of Jordan Government AID International Bond      2.578   06/30/22   1,766,963 
 1,955,000     Inter-American Development Bank      0.180   10/09/20   1,954,456 
 5,000,000  i  Inter-American Development Bank  LIBOR 3 M + 0.010%   1.229   01/15/22   4,995,067 
 10,000,000     International Bank for Reconstruction & Development      0.625   04/22/25   10,080,176 
 4,750,000     International Bank for Reconstruction & Development      3.125   11/20/25   5,403,022 
 2,900,000     International Bank for Reconstruction & Development      2.750   05/31/36   2,919,910 
 10,450,000  g  International Development Association      2.750   04/24/23   11,158,736 
 6,500,000     International Finance Corp      1.546   11/04/21   6,567,366 
 110,000  i  International Finance Corp  LIBOR 3 M + 0.070%   0.383   12/15/22   109,943 
 7,375,000     International Finance Corp      0.500   03/20/23   7,419,520 
 3,250,000     International Finance Corp      2.125   04/07/26   3,538,686 
 2,500,000     Japan Bank for International Cooperation      1.875   04/20/21   2,527,975 
 3,000,000  g  Japan Finance Organization for Municipalities      2.125   04/13/21   3,036,856 
 3,350,000  g  Japan Finance Organization for Municipalities      3.375   09/27/23   3,639,419 
 10,750,000  g  Kommunalbanken AS.      1.375   10/26/20   10,781,577 
210

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$6,000,000  g  Kommunalbanken AS.      2.125%  02/11/25  $6,429,301 
 5,500,000  i  Korea Development Bank International Bond  LIBOR 3 M + 0.725%   2.098   07/06/22   5,509,272 
 10,100,000  g  Korea Electric Power Corp      1.125   06/15/25   10,115,943 
 11,250,000     Kreditanstalt fuer Wiederaufbau      2.000   11/30/21   11,526,365 
 2,875,000  g  Nacional Financiera SNC      3.375   11/05/20   2,875,144 
 100,000  g  Nederlandse Waterschapsbank NV      2.125   11/15/21   102,400 
 6,000,000  g  Nederlandse Waterschapsbank NV      3.125   12/05/22   6,384,724 
 10,000,000  g  Nederlandse Waterschapsbank NV      1.750   01/15/25   10,536,950 
 7,750,000  g  Nederlandse Waterschapsbank NV      2.375   03/24/26   8,487,775 
 2,765,000     North American Development Bank      2.400   10/26/22   2,861,205 
 6,000,000  g  Perusahaan Penerbit SBSN Indonesia III      3.750   03/01/23   6,273,960 
 6,600,000  g  Perusahaan Penerbit SBSN Indonesia III      3.900   08/20/24   7,037,184 
 500,000     Province of Manitoba Canada      3.050   05/14/24   544,790 
 5,000,000     Province of Quebec Canada      2.750   04/12/27   5,582,444 
 10,000,000     Republic of Italy Government International Bond      2.875   10/17/29   9,933,884 
 10,750,000     Republic of Italy Government International Bond      4.000   10/17/49   10,884,160 
 4,250,000     Seychelles International Bond      6.500   10/11/28   4,934,547 
       TOTAL FOREIGN GOVERNMENT BONDS           314,416,764 
                        
MORTGAGE BACKED - 14.8%
 875,000     Federal Home Loan Mortgage Corp (FHLMC)      3.000   10/15/33   978,309 
 1,105,206     FHLMC      3.500   08/15/43   1,144,104 
 3,529     FHLMC      3.000   03/15/44   3,666 
 9,808,536     FHLMC      3.500   03/15/44   10,770,138 
 1,224,948  i  FHLMC  LIBOR 1 M + 5.920%   5.735   03/15/44   254,894 
 10,329,137     FHLMC      4.000   10/01/47   11,552,924 
 1,768,190  i  FHLMC  LIBOR 1 M + 9.920%   9.624   06/15/48   2,225,657 
 1,709,080  i  FHLMC  LIBOR 1 M + 9.840%   9.544   10/15/48   2,181,588 
 8,933,749     FHLMC      4.000   09/01/49   9,766,476 
 4,392,364     FHLMC      3.000   11/01/49   4,676,693 
 177,332     Federal Home Loan Mortgage Corp Gold (FGLMC)      5.000   06/01/36   203,463 
 175,125     FGLMC      4.500   12/01/43   194,319 
 188,730     FGLMC      4.500   02/01/44   209,509 
 1,464,028     FGLMC      5.000   08/01/44   1,677,970 
 240,483     FGLMC      3.500   04/01/45   263,947 
 5,621,382     FGLMC      3.500   08/01/45   6,202,377 
 1,755,949     FGLMC      3.500   10/01/45   1,919,807 
 1,910,995     FGLMC      4.000   12/01/45   2,108,542 
 3,186,546     FGLMC      3.500   08/01/46   3,480,392 
 10,237,443     FGLMC      3.000   01/01/47   10,817,792 
 6,858,752     FGLMC      3.000   02/01/47   7,252,995 
 5,458,494     FGLMC      3.500   02/01/47   5,786,423 
 363,018     FGLMC      4.500   06/01/47   402,641 
 635,542     FGLMC      4.000   09/01/47   692,457 
 143,973     FGLMC      3.500   12/01/47   157,338 
 18,123,956     FGLMC      3.500   03/01/48   19,801,731 
 2,210,464     FGLMC      4.000   03/01/48   2,442,550 
 868,056     FGLMC      4.000   07/01/48   950,580 
 3,511,693     FGLMC      4.500   08/01/48   3,898,965 
 3,750,000     Federal National Mortgage Association (FNMA)      2.125   04/24/26   4,086,671 
 177,219     FNMA      3.500   07/01/26   186,444 
211

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$5,750,000  i  FNMA      2.895%  02/25/27  $6,304,227 
 10,000,000  i  FNMA      3.436   06/25/28   11,407,283 
 625,718     FNMA      3.500   05/01/32   663,099 
 11,230,399     FNMA      3.000   10/01/32   11,801,227 
 186,063     FNMA      5.500   11/01/38   213,715 
 8,970,316     FNMA      3.000   05/01/40   9,466,092 
 2,700,067     FNMA      3.500   05/01/40   2,841,444 
 721,421     FNMA      5.000   09/01/40   828,696 
 675,538     FNMA      5.000   04/01/41   777,513 
 2,928,242     FNMA      4.000   09/01/42   3,189,089 
 856,111     FNMA      3.000   04/25/43   899,711 
 1,412,462  i  FNMA  LIBOR 1 M + 5.950%   5.766   09/25/43   320,201 
 1,354,107     FNMA      4.000   01/01/44   1,497,163 
 94,822     FNMA      4.500   06/01/44   105,274 
 470,919     FNMA      4.500   06/01/44   522,511 
 221,291     FNMA      4.500   08/01/44   245,571 
 447,695     FNMA      4.500   11/01/44   496,660 
 1,109,312     FNMA      4.000   01/01/45   1,208,326 
 358,933     FNMA      3.000   02/25/45   375,647 
 919,848     FNMA      3.000   02/25/45   948,780 
 485,593     FNMA      4.500   03/01/45   538,355 
 692,880     FNMA      3.000   03/25/45   720,126 
 37,833     FNMA      3.500   04/25/45   39,307 
 1,787,996     FNMA      4.000   06/01/45   1,961,004 
 1,901,486     FNMA      4.000   12/01/45   2,100,456 
 3,617,012     FNMA      3.000   12/25/45   3,778,742 
 1,217,859     FNMA      3.500   01/01/46   1,331,222 
 265,900     FNMA      4.000   01/01/46   294,003 
 341,565     FNMA      4.000   03/01/46   374,673 
 1,882,181     FNMA      3.500   06/01/46   2,057,388 
 2,347,558     FNMA      3.500   07/01/46   2,566,081 
 3,142,742     FNMA      3.500   07/01/46   3,432,251 
 11,567,293     FNMA      3.000   10/01/46   11,984,697 
 16,272,780     FNMA      3.000   11/01/46   17,186,734 
 2,004,167     FNMA      3.500   12/01/46   2,127,009 
 9,099,151     FNMA      3.500   01/01/47   9,643,898 
 789,325     FNMA      3.000   04/25/47   844,293 
 298,397     FNMA      4.500   05/01/47   331,622 
 8,320,000     FNMA      3.500   08/01/47   8,899,780 
 11,291,889     FNMA      4.000   09/01/47   12,016,446 
 2,633,040     FNMA      4.000   10/01/47   2,792,986 
 918,212     FNMA      3.000   11/01/47   950,881 
 7,711,933     FNMA      3.500   11/01/47   8,445,362 
 560,571  h  FNMA      4.500   11/01/47   627,838 
 10,112,852     FNMA      4.000   12/01/47   11,179,104 
 12,789,221  h  FNMA      4.000   12/01/47   13,632,669 
 195,134     FNMA      3.500   01/01/48   213,914 
 77,406     FNMA      3.500   01/01/48   84,379 
 1,990,821     FNMA      4.500   01/01/48   2,229,724 
 9,483,554     FNMA      3.500   02/01/48   10,003,986 
 578,641     FNMA      4.000   02/01/48   614,523 
 520,401     FNMA      4.500   02/01/48   582,634 
 4,014,553     FNMA      3.000   02/25/48   4,260,340 
 11,256,720     FNMA      3.500   03/01/48   11,878,893 
 1,179,991     FNMA      4.000   03/01/48   1,303,517 
 2,195,873     FNMA      4.500   03/01/48   2,458,464 
212

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY DATE  VALUE 
$22,040,771     FNMA      3.500%  04/01/48  $23,249,187 
 28,851,706     FNMA      4.000   04/01/48   30,615,653 
 1,412,457     FNMA      4.500   05/01/48   1,581,374 
 1,051,825     FNMA      4.500   05/01/48   1,177,614 
 6,624     FNMA      5.000   06/01/48   7,259 
 13,047,257     FNMA      4.500   07/01/48   14,018,576 
 2,278     FNMA      4.000   08/01/48   2,412 
 547,109     FNMA      5.000   08/01/48   620,415 
 8,517     FNMA      3.000   11/01/48   8,973 
 2,021,729  j  FNMA      0.000   11/25/48   1,879,533 
 2,021,729     FNMA      3.000   11/25/48   222,620 
 2,042     FNMA      4.500   12/01/48   2,193 
 24,498,311     FNMA      4.500   04/01/49   26,312,441 
 858,092     FNMA      3.000   08/01/49   932,485 
 1,188     FNMA      4.000   10/01/49   1,259 
 301     FNMA      3.500   12/01/49   316 
 124     FNMA      4.000   12/01/49   131 
 153,912     FNMA      2.500   04/01/50   160,329 
 34,000,000  h  FNMA      2.000   07/25/50   34,776,953 
 85,000,000  h  FNMA      2.500   07/25/50   88,575,976 
 127,000,000  h  FNMA      3.000   07/25/50   133,717,109 
 701,630     Government National Mortgage Association (GNMA)      2.690   06/15/33   747,522 
 56,855     GNMA      5.000   06/20/42   64,268 
 12,358,177     GNMA      2.750   01/15/45   13,399,271 
 1,553,269     GNMA      4.000   06/20/46   181,976 
 7,101,439     GNMA      3.500   12/20/46   7,564,497 
 5,295,590     GNMA      3.500   01/20/47   5,632,145 
 55,000,000  h  GNMA      3.000   07/20/47   58,254,882 
 2,037     GNMA      3.000   12/20/47   2,161 
 19,892     GNMA      3.500   12/20/47   21,139 
 1,556     GNMA      3.500   01/20/48   1,654 
 2,397,545     GNMA      3.500   01/20/49   2,621,813 
 19,000,000  h  GNMA      2.500   07/20/50   19,992,305 
       TOTAL MORTGAGE BACKED              790,237,333 
                        
MUNICIPAL BONDS - 9.2%
 3,750,000     Antelope Valley-East Kern Water Agency Financing Authority      4.326   06/01/36   4,053,225 
 4,800,000     Bay Area Water Supply & Conservation Agency      3.994   10/01/34   5,674,704 
 2,000,000     Brunswick & Glynn County Development Authority      3.060   04/01/25   2,124,520 
 2,000,000     California Housing Finance Agency      2.966   08/01/22   2,083,040 
 700,000     California Municipal Finance Authority      1.486   11/01/22   700,231 
 750,000     California Municipal Finance Authority      1.605   11/01/23   750,315 
 1,935,000  g  California Municipal Finance Authority      4.250   11/01/23   1,920,797 
 5,000,000     Chicago Board of Education      5.000   12/01/20   5,036,050 
 10,000,000     Chicago Housing Authority      4.361   01/01/38   11,702,300 
 16,465,000     Chicago Metropolitan Water Reclamation District-Greater Chicago      5.720   12/01/38   23,791,102 
 1,000,000     Chicago Park District      4.095   01/01/26   1,112,550 
 625,000     Chula Vista Municipal Financing Authority      3.775   12/01/33   677,719 
 1,350,000     Chula Vista Municipal Financing Authority      3.975   12/01/38   1,444,054 
 740,000     Chula Vista Municipal Financing Authority      4.075   12/01/41   789,676 
 4,300,000     Chula Vista Municipal Financing Authority      4.275   12/01/48   4,577,952 
213

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$3,500,000     City & County Honolulu HI Wastewater System Revenue      3.200%  07/01/26  $3,829,630 
 1,000,000     City & County of Honolulu HI      2.368   10/01/24   1,057,360 
 5,730,000     City & County of Honolulu HI      3.944   09/01/34   6,681,237 
 935,000     City & County of San Francisco CA      3.700   04/01/34   1,007,406 
 440,000     City & County of San Francisco CA      3.750   04/01/35   472,406 
 5,835,000     City & County of San Francisco CA      3.900   04/01/42   6,187,726 
 5,405,000     City & County of San Francisco CA Community Facilities District      3.750   09/01/37   5,721,949 
 4,610,000     City & County of San Francisco CA Community Facilities District      4.221   09/01/39   5,074,319 
 5,000,000     City & County of San Francisco CA Community Facilities District      4.000   09/01/48   5,279,850 
 1,925,000     City of Berkeley CA      3.250   09/01/35   2,083,735 
 8,885,000     City of Berkeley CA      3.750   09/01/43   9,715,214 
 2,490,000     City of Chicago IL      7.750   01/01/42   3,264,340 
 510,000     City of Chicago IL      7.750   01/01/42   549,112 
 300,000     City of Conway AR Wasterwater Department      2.122   10/01/21   304,074 
 5,340,000     City of Conway AR Wasterwater Department      3.168   10/01/37   5,488,559 
 2,750,000     City of Florence SC      4.250   12/01/34   2,988,177 
 1,800,000     City of Kaukauna WI Electric System Revenue      2.750   12/15/32   1,889,550 
 1,725,000     City of Kaukauna WI Electric System Revenue      2.800   12/15/33   1,805,161 
 1,800,000     City of Kaukauna WI Electric System Revenue      2.850   12/15/34   1,877,616 
 1,945,000     City of Kaukauna WI Electric System Revenue      2.900   12/15/35   2,012,958 
 4,000,000     City of Los Angeles CA      3.500   09/01/37   4,365,280 
 9,060,000     City of Los Angeles CA      3.880   09/01/38   10,198,480 
 870,000  g  City of Miami FL      4.808   01/01/39   979,463 
 170,000     City of Mount Shasta CA      4.000   08/01/29   212,488 
 190,000     City of Mount Shasta CA      3.000   08/01/32   210,507 
 100,000     City of Mount Shasta CA      3.000   08/01/33   110,101 
 200,000     City of Mount Shasta CA      3.000   08/01/34   219,518 
 3,825,000     City of Norfolk VA      3.000   10/01/35   3,779,789 
 2,685,000     City of Oakland CA      1.830   01/15/27   2,727,020 
 250,000     City of San Angelo TX Water & Sewer Revenue      4.261   02/15/37   258,593 
 2,000,000     City of San Angelo TX Water & Sewer Revenue      4.401   02/15/46   2,060,540 
 12,615,000     City of San Francisco CA Public Utilities Commission Water Revenue      3.303   11/01/39   13,436,615 
 5,750,000     City of San Francisco CA Public Utilities Commission Water Revenue      4.185   11/01/46   6,252,953 
 1,140,000     City of San Juan Capistrano CA      4.090   08/01/36   1,234,928 
 1,385,000     City of San Juan Capistrano CA      4.190   08/01/40   1,494,581 
 360,000     Clean Water Services      5.701   10/01/30   471,510 
 2,730,000     Commonwealth Financing Authority      3.864   06/01/38   3,213,892 
 12,450,000  i  Connecticut Housing Finance Authority  SOFR + 0.650%   0.740   05/15/49   12,445,518 
 5,000,000     County of Alameda CA      3.820   08/01/38   5,407,800 
 1,500,000     County of Miami-Dade FL Aviation Revenue      2.218   10/01/22   1,522,050 
214

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY DATE  VALUE 
$12,020,000     County of Miami-Dade FL Water & Sewer System Revenue      3.490%  10/01/42  $12,739,517 
 2,730,000     County of Saline AR      4.000   06/01/37   2,854,133 
 3,500,000     District of Columbia      3.432   04/01/42   3,526,775 
 1,900,000     District of Columbia Water & Sewer Authority      4.814   10/01/14   2,724,657 
 2,940,000     Erie Sewer Authority      4.663   12/01/32   3,408,871 
 1,125,000     Erie Sewer Authority      4.713   12/01/33   1,283,479 
 3,315,000     Erie Sewer Authority      4.743   12/01/34   3,782,349 
 1,550,000  g,q  Finance Authority of Maine      5.375   12/15/33   852,500 
 500,000  q  Finance Authority of Maine      5.250   06/15/34   275,000 
 290,000     Grant County Public Utility District No 2      2.378   01/01/28   307,310 
 20,000,000     Grant County Public Utility District No 2      2.918   01/01/40   20,732,800 
 9,405,000     Grant County Public Utility District No 2      3.210   01/01/40   9,980,680 
 9,375,000     Great Lakes Water Authority Sewage Disposal System Revenue      3.056   07/01/39   10,000,687 
 13,265,000     Great Lakes Water Authority Water Supply System Revenue      3.473   07/01/41   13,860,068 
 1,790,000     Honolulu City & County Board of Water Supply      3.760   07/01/30   1,965,921 
 1,180,000     Idaho State Building Authority      3.202   09/01/37   1,237,655 
 3,105,000     Jackson County Industrial Development Authority      4.250   05/01/39   3,365,820 
 2,000,000     Kern County Water Agency Improvement District No 4      4.276   05/01/36   2,290,780 
 450,000     Klickitat County Public Utilities      3.688   12/01/38   478,539 
 1,000,000     Lavaca-Navidad River Authority      4.430   08/01/35   1,065,310 
 3,430,000     Maryland Community Development Administration Housing Revenue      3.797   03/01/39   3,626,299 
 3,000,000     Massachusetts St. Water Pollution Abatement      5.192   08/01/40   3,622,980 
 6,000,000     Massachusetts Water Resources Authority      3.104   08/01/39   6,320,700 
 10,735,000     Metropolitan Transportation Authority      5.175   11/15/49   12,522,592 
 500,000     Michigan Finance Authority      5.000   07/01/22   528,185 
 2,500,000     Montgomery Water Works & Sanitary Sewer Board      1.827   09/01/24   2,583,000 
 4,065,000     New York City Housing Development Corp      3.119   08/01/38   4,303,737 
 2,500,000     New York City Housing Development Corp      3.720   11/01/39   2,725,150 
 680,000     New York State Energy Research & Development Authority      4.577   04/01/35   700,121 
 2,115,000     New York State Environmental Facilities Corp      3.420   07/15/26   2,375,293 
 7,500,000     New York Transportation Development Corp      5.000   01/01/26   7,975,200 
 1,500,000  g  Ohio Air Quality Development Authority      4.250   01/15/38   1,551,150 
 2,000,000  g  Ohio Air Quality Development Authority      4.500   01/15/48   2,067,400 
 13,180,000     Ohio State Water Development Authority      4.879   12/01/34   15,594,840 
 5,750,000  †,g,i,q  Oregon State Business Development Commission      6.500   04/01/31   3,943,408 
 2,000,000  q  Oregon State Business Development Commission      11.500   04/01/31   1,676,180 
 2,665,000     Papio-Missouri River Natural Resource District      2.198   12/15/25   2,708,040 
 2,080,000     Papio-Missouri River Natural Resource District      2.318   12/15/26   2,117,856 
 3,250,000     Papio-Missouri River Natural Resource District      2.482   12/15/27   3,314,350 
 3,290,000     Papio-Missouri River Natural Resource District      2.602   12/15/28   3,355,899 
 2,725,000     Pend Oreille County Public Utility District No Box Canyon      5.000   01/01/30   2,867,899 
 7,250,000  g  Pennsylvania Economic Development Financing Authority      10.000   12/01/29   7,377,238 
 100,000  g  Pennsylvania Economic Development Financing Authority      5.750   06/01/36   94,039 
 1,735,000  g,i  Public Finance Authority      9.000   06/01/29   1,721,380 
 1,000,000     Rhode Island Housing & Mortgage Finance Corp      3.300   10/01/39   1,033,550 
 1,450,000     Rhode Island Housing & Mortgage Finance Corp      3.400   10/01/44   1,482,422 
 6,950,000     Rhode Island Housing & Mortgage Finance Corp      3.500   10/01/51   7,068,150 
 250,000     Sacramento Suburban Water District      3.268   11/01/23   263,400 
 440,000     San Francisco City & County Redevelopment Agency      3.113   08/01/22   449,420 
 1,000,000     San Francisco City & County Redevelopment Agency      3.533   08/01/25   1,071,840 
215

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$1,000,000     San Francisco City & County Redevelopment Agency      4.375%  08/01/44  $1,034,780 
 250,000     Sangamon County Water Reclamation District      2.507   01/01/29   257,838 
 2,500,000     Sangamon County Water Reclamation District      2.907   01/01/34   2,549,550 
 2,050,000     Sangamon County Water Reclamation District      3.272   01/01/37   2,086,408 
 1,900,000     Santa Cruz County Capital Financing Authority      3.375   06/01/31   2,022,759 
 1,465,000     Santa Cruz County Capital Financing Authority      3.625   06/01/35   1,557,075 
 3,000,000     Semitropic Improvement District      2.499   12/01/25   3,160,260 
 380,000  g  South Davis Sewer District      3.750   12/01/22   383,268 
 1,000,000     South Davis Sewer District      4.125   12/01/32   1,081,850 
 1,100,000     South Davis Sewer District      4.500   12/01/37   1,197,460 
 2,090,000     State of California      4.600   04/01/38   2,442,311 
 2,480,000     State of California      4.988   04/01/39   2,676,565 
 10,750,000  i  State of California  LIBOR 1 M + 0.780%   0.962   04/01/47   10,729,897 
 1,000,000     State of Texas      3.576   08/01/34   1,044,170 
 1,000,000     State of Texas      3.726   08/01/43   1,032,060 
 6,625,000     Stockton Public Financing Authority      3.610   10/01/40   6,769,425 
 630,000     Sustainable Energy Utility, Inc      1.450   09/15/20   630,151 
 665,000     Sustainable Energy Utility, Inc      1.650   09/15/22   667,893 
 2,400,000  g  Syracuse Industrial Development Agency      5.000   01/01/36   2,480,544 
 1,000,000     Texas Water Development Board      3.500   10/15/37   1,119,530 
 7,500,000     Texas Water Development Board      4.190   10/15/43   8,729,325 
 3,000,000     Texas Water Development Board      3.700   10/15/47   3,282,600 
 3,000,000     Texas Water Development Board      4.648   04/15/50   3,330,990 
 1,230,000     University of Cincinnati      3.500   06/01/32   1,319,606 
 2,000,000     University of New Mexico      3.532   06/20/32   2,128,460 
 1,500,000     Upper Santa Clara Valley Joint Powers Authority      3.750   08/01/38   1,625,400 
 4,400,000     Upper Santa Clara Valley Joint Powers Authority      3.875   08/01/48   4,651,592 
 5,000,000     Vermont Educational & Health Buildings Financing Agency      4.000   12/01/42   5,268,250 
 750,000     Vermont Educational & Health Buildings Financing Agency      4.000   12/01/46   786,390 
 1,000,000  g  Warm Springs Reservation Confederated Tribe      3.300   11/01/27   1,056,980 
 1,250,000  g  Warm Springs Reservation Confederated Tribe      3.550   11/01/32   1,319,788 
 530,000     Washington County Clean Water Services      5.078   10/01/24   618,309 
 1,905,000  g  Washington Economic Development Finance Authority      7.500   01/01/32   1,619,250 
 650,000     Yuba City Public Financing Authority      3.960   06/01/32   714,311 
 1,500,000     Yuba City Public Financing Authority      4.320   06/01/42   1,628,445 
 1,000,000     Yuba Levee Financing Authority      3.170   09/01/22   1,044,190 
       TOTAL MUNICIPAL BONDS              492,152,489 
216

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
U.S. TREASURY SECURITIES - 7.0%
$2,500,000     United States Treasury Bond      3.125%  05/15/48  $3,501,855 
 2,500,000     United States Treasury Bond      3.000   02/15/49   3,449,512 
 69,368,000     United States Treasury Bond      2.000   02/15/50   79,399,263 
 20,336,000  k  United States Treasury Inflation Indexed Bonds      0.500   04/15/24   21,394,715 
 12,494,250  k  United States Treasury Inflation Indexed Bonds      0.125   10/15/24   13,099,704 
 1,795,000     United States Treasury Note      2.500   01/31/21   1,819,401 
 3,600,000     United States Treasury Note      2.250   04/30/21   3,662,016 
 4,115,000     United States Treasury Note      1.500   09/30/21   4,182,994 
 7,500,000     United States Treasury Note      1.500   10/31/21   7,632,715 
 5,000,000     United States Treasury Note      1.375   01/31/22   5,094,922 
 49,835,000     United States Treasury Note      0.125   06/30/22   49,805,800 
 66,803,000     United States Treasury Note      0.250   06/15/23   66,943,913 
 1,092,000     United States Treasury Note      1.875   08/31/24   1,166,392 
 1,395,000     United States Treasury Note      2.250   10/31/24   1,515,482 
 620,000     United States Treasury Note      2.875   04/30/25   697,161 
 19,836,000     United States Treasury Note      0.250   06/30/25   19,797,258 
 14,250,000     United States Treasury Note      2.750   08/31/25   16,027,910 
 6,146,000     United States Treasury Note      0.500   05/31/27   6,152,482 
 5,000,000     United States Treasury Note      0.500   06/30/27   5,003,125 
 62,688,000     United States Treasury Note      0.625   05/15/30   62,496,997 
       TOTAL U.S. TREASURY SECURITIES           372,843,617 
                        
       TOTAL GOVERNMENT BONDS              2,305,465,253 
       (Cost $2,225,540,858)                
                        
STRUCTURED ASSETS - 10.8%
                        
ASSET BACKED - 4.1%
 325,000  g  AMSR Trust      1.819   04/17/37   328,502 
       Series - 2020 SFR1 (Class A)                
 450,000  g,i  AMSR Trust      3.148   01/19/39   455,116 
       Series - 2019 SFR1 (Class C)                
 400,000  g,i  AMSR Trust      3.247   01/19/39   396,589 
       Series - 2019 SFR1 (Class D)                
 5,000,000  g,i  AREIT Trust  LIBOR 1 M + 1.020%   1.215   09/14/36   4,794,000 
       Series - 2019 CRE3 (Class A)                
 102,363  i  Asset Backed Securities Corp Home Equity Loan Trust  LIBOR 1 M + 0.900%   3.386   08/25/34   100,360 
       Series - 2004 HE5 (Class M1)                
 350,000  i  Bayview Financial Mortgage Pass-Through Trust  LIBOR 1 M + 0.975%   1.159   02/28/41   341,235 
       Series - 2006 A (Class M3)                
 949,016  g  Capital Automotive REIT      3.660   10/15/44   939,524 
       Series - 2014 1A (Class A)                
 941,038  g  Capital Automotive REIT      3.870   04/15/47   941,933 
       Series - 2017 1A (Class A1)                
 234,223  i  C-BASS Trust  LIBOR 1 M + 0.080%   0.265   07/25/36   215,807 
       Series - 2006 CB6 (Class A1)                
 1,447,025  †,g,i  CBRE Realty Finance  LIBOR 3 M + 0.300%   2.343   04/07/52   0 
       Series - 2007 1A (Class A2)                
217

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$1,900,619  i  Chase Funding Loan Acquisition Trust  LIBOR 1 M + 0.855%   1.023%  06/25/34  $1,782,306 
       Series - 2004 OPT1 (Class M1)                
 90,000  i  Citigroup Mortgage Loan Trust  LIBOR 1 M + 0.750%   0.935   01/25/36   88,378 
       Series - 2006 WFH1 (Class M4)                
 1,054,479  g  Corevest American Finance Trust      1.832   03/15/50   1,020,901 
       Series - 2020 1 (Class A1)                
 10,000,000  g,i  CSMC Trust      3.904   11/10/32   10,489,512 
       Series - 2017 CALI (Class C)                
 977,500  g  DB Master Finance LLC      3.629   11/20/47   1,009,327 
       Series - 2017 1A (Class A2I)                
 1,860,938  g  DB Master Finance LLC      3.787   05/20/49   1,920,469 
       Series - 2019 1A (Class A2I)                
 866,250  g  Domino’s Pizza Master Issuer LLC      4.474   10/25/45   937,005 
       Series - 2015 1A (Class A2II)                
 3,022,500  g  Domino’s Pizza Master Issuer LLC      3.082   07/25/47   3,087,121 
       Series - 2017 1A (Class A2II)                
 786,000  g  Domino’s Pizza Master Issuer LLC      4.116   07/25/48   836,728 
       Series - 2018 1A (Class A2I)                
 655,030  g,i  Ellington Loan Acquisition Trust  LIBOR 1 M + 1.100%   1.285   05/25/37   650,110 
       Series - 2007 2 (Class A2C)                
 750,000  g  Ford Credit Auto Owner Trust      2.310   08/15/27   756,989 
       Series - 2016 1 (Class A)                
 7,789,000  g  GSCG Trust      2.936   09/06/34   7,953,905 
       Series - 2019 600C (Class A)                
 1,449,338  g  HERO Funding Trust      3.840   09/21/40   1,542,156 
       Series - 2015 1A (Class A)                
 320,385  g  HERO Funding Trust      3.990   09/21/40   322,880 
       Series - 2014 2A (Class A)                
 1,705,181  g  HERO Funding Trust      3.750   09/20/41   1,777,460 
       Series - 2016 2A (Class A)                
 1,425,675  g  HERO Funding Trust      4.050   09/20/41   1,488,616 
       Series - 2016 1A (Class A)                
 3,623,380  g  HERO Funding Trust      3.080   09/20/42   3,697,635 
       Series - 2016 3A (Class A1)                
 3,269,048  g  HERO Funding Trust      3.910   09/20/42   3,401,513 
       Series - 2016 3A (Class A2)                
 273,354  g  HERO Funding Trust      4.500   09/21/42   273,759 
       Series - 2016 1R (Class A1)                
 3,131,110  g  HERO Funding Trust      3.570   09/20/47   3,278,422 
       Series - 2016 4A (Class A1)                
 2,917,221  g  HERO Funding Trust      3.710   09/20/47   3,045,916 
       Series - 2017 1A (Class A1)                
 463,868  g  HERO Funding Trust      4.290   09/20/47   493,759 
       Series - 2016 4A (Class A2)                
 5,029,091  g  HERO Funding Trust      3.190   09/20/48   5,144,986 
       Series - 2017 3A (Class A1)                
 4,705,817  g  HERO Funding Trust      3.950   09/20/48   4,934,792 
       Series - 2017 3A (Class A2)                
 1,942,382  g  HERO Funding Trust      4.070   09/20/48   2,045,492 
       Series - 2017 2A (Class A2)                
 6,874,883  g  HERO Funding Trust      4.670   09/20/48   7,354,385 
       Series - 2018 1A (Class A2)                
 4,562,391  g  HERO Funding Trust      2.720   09/20/57   4,393,465 
       Series - 2020 1A (Class A)                
218

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$49,524  i  Home Equity Asset Trust  LIBOR 1 M + 1.500%   3.986%  06/25/33  $48,645 
       Series - 2003 1 (Class M1)                
 100,000  g,i  Invitation Homes Trust  LIBOR 1 M + 1.450%   1.635   06/17/37   96,868 
       Series - 2018 SFR2 (Class D)                
 278,597  g,i  Invitation Homes Trust  LIBOR 1 M + 1.000%   1.194   07/17/37   276,526 
       Series - 2018 SFR3 (Class A)                
 656,001  g,i  Invitation Homes Trust  LIBOR 1 M + 1.100%   1.294   01/17/38   654,564 
       Series - 2018 SFR4 (Class A)                
 361,002  i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.320%   0.505   03/25/37   345,770 
       Series - 2007 CH3 (Class A1B)                
 2,308,706  i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.160%   0.345   06/25/37   2,235,709 
       Series - 2007 CH5 (Class A1)                
 5,000,000  g,i  MAD Mortgage Trust      3.600   08/15/34   5,034,421 
       Series - 2017 330M (Class C)                
 3,050,000  g  Mosaic Solar Loan Trust      2.100   04/20/46   3,073,665 
       Series - 2020 1A (Class A)                
 3,875,000  g  Mosaic Solar Loan Trust      3.100   04/20/46   3,906,233 
       Series - 2020 1A (Class B)                
 3,721,656  g  Mosaic Solar Loans LLC      3.820   06/22/43   3,830,072 
       Series - 2017 2A (Class A)                
 290,000  g,i  MSCG Trust      3.577   06/07/35   217,411 
       Series - 2015 ALDR (Class D)                
 645,259  g  MVW Owner Trust      2.420   12/20/34   641,726 
       Series - 2017 1A (Class A)                
 734,547  g,i  Navient Student Loan Trust  LIBOR 1 M + 0.250%   0.435   06/27/67   733,681 
       Series - 2018 4A (Class A1)                
 31,604  g,i  Orange Lake Timeshare Trust      3.030   07/09/29   31,529 
       Series - 2014 AA (Class B)                
 2,193,916  g  Progress Residential Trust      2.897   12/17/34   2,203,424 
       Series - 2017 SFR2 (Class A)                
 4,000,000     PSNH Funding LLC      3.506   08/01/28   4,313,278 
       Series - 2018 1 (Class A2)                
 250,000  i  RASC Trust  LIBOR 1 M + 0.590%   3.080   08/25/35   246,406 
       Series - 2005 KS8 (Class M4)                
 1,323,384  g  Renew      3.670   09/20/52   1,365,753 
       Series - 2017 1A (Class A)                
 3,711,292  g  Renew      3.950   09/20/53   3,982,924 
       Series - 2018 1 (Class A)                
 87,385  g  SolarCity LMC      4.800   11/20/38   83,811 
       Series - 2013 1 (Class A)                
 3,210,119  g  SolarCity LMC      4.590   04/20/44   3,133,526 
       Series - 2014 1 (Class A)                
 731,401  g  SolarCity LMC      4.020   07/20/44   723,798 
       Series - 2014 2 (Class A)                
 3,457,522  g  SolarCity LMC      4.800   09/20/48   3,510,411 
       Series - 2016 A (Class A)                
 732,882  g,i  Starwood Waypoint Homes  LIBOR 1 M + 0.950%   1.135   01/17/35   729,716 
       Series - 2017 1 (Class A)                
 308,904  i  Structured Asset Securities Corp Mortgage Loan Trust  LIBOR 1 M + 1.500%   1.673   04/25/35   298,449 
       Series - 2005 7XS (Class 2A1A)                
 5,525,821  g  Sunrun Athena Issuer LLC      5.310   04/30/49   5,213,729 
       Series - 2018 1 (Class A)                
219

TIAA-CREF FUNDS - Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$7,137,517  g  Sunrun Atlas Issuer LLC      3.610%  02/01/55  $7,049,148 
       Series - 2019 2 (Class A)                
 17,330,729  g  Sunrun Callisto Issuer LLC      3.980   06/30/54   16,949,839 
       Series - 2019 1A (Class A)                
 10,341,914  g  TES LLC      4.330   10/20/47   10,227,782 
       Series - 2017 1A (Class A)                
 2,500,000  g  TES LLC      7.740   10/20/47   2,214,138 
       Series - 2017 1A (Class B)                
 4,754,783  g  TES LLC      4.120   02/20/48   4,609,160 
       Series - 2017 2A (Class A)                
 21,044,961  g  Tesla Auto Lease Trust      3.710   08/20/21   21,348,299 
       Series - 2018 B (Class A)                
 4,000,000  g  Tesla Auto Lease Trust      7.870   06/20/22   4,149,886 
       Series - 2018 B (Class E)                
 3,988,000  g  Tesla Auto Lease Trust      2.160   10/20/22   4,089,952 
       Series - 2019 A (Class A3)                
 4,125,000  g  Tesla Auto Lease Trust      2.200   11/21/22   4,215,966 
       Series - 2019 A (Class A4)                
 1,650,000  g  Tesla Auto Lease Trust      5.480   05/22/23   1,687,794 
       Series - 2019 A (Class E)                
 1,000,000  g  Tricon American Homes Trust      4.878   11/17/33   998,926 
       Series - 2016 SFR1 (Class E)                
 500,000  g  Tricon American Homes Trust      4.011   09/17/34   501,314 
       Series - 2017 SFR1 (Class E)                
 600,324  g  Tricon American Homes Trust      2.928   01/17/36   623,959 
       Series - 2017 SFR2 (Class A)                
 100,000  g  Tricon American Homes Trust      3.275   01/17/36   103,378 
       Series - 2017 SFR2 (Class B)                
 5,564,774  g  Vivint Colar Financing V LLC      4.730   04/30/48   5,215,151 
       Series - 2018 1A (Class A)                
 4,208,667  g  Vivint Colar Financing V LLC      7.370   04/30/48   3,606,728 
       Series - 2018 1A (Class B)                
 1,462,500  g  Wendys Funding LLC      3.573   03/15/48   1,515,808 
       Series - 2018 1A (Class A2I)                
       TOTAL ASSET BACKED              218,280,326 
                        
OTHER MORTGAGE BACKED - 6.7%
 3,465,000  g,i  20 Times Square Trust      3.203   05/15/35   3,385,065 
       Series - 2018 20TS (Class B)                
 521,926  g,i  Agate Bay Mortgage Trust      3.500   11/25/44   539,431 
       Series - 2014 3 (Class A13)                
 74,727  g,i  Agate Bay Mortgage Trust      3.500   09/25/45   77,305 
       Series - 2015 6 (Class A9)                
 175,681  i  Alternative Loan Trust  LIBOR 1 M + 0.500%   0.685   06/25/34   169,673 
       Series - 2004 8CB (Class M1)                
 750,000     Banc of America Commercial Mortgage Trust      3.019   07/15/49   786,563 
       Series - 2016 UB10 (Class ASB)                
 2,000,000     BANK      3.203   12/15/52   2,176,865 
       Series - 2019 BN23 (Class AS)                
 5,000,000  g,i  BBCMS Mortgage Trust      4.409   08/05/38   3,397,857 
       Series - 2018 CHRS (Class E)                
220

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$5,750,000  g  BBCMS Trust      3.593%  09/15/32  $5,932,416 
       Series - 2015 MSQ (Class A)                
 2,500,000  g  BBCMS Trust      3.894   09/15/32   2,488,145 
       Series - 2015 MSQ (Class B)                
 200,000  g  BBCMS Trust      4.197   08/10/35   221,494 
       Series - 2015 SRCH (Class A2)                
 4,500,000  g  BBCMS Trust      4.798   08/10/35   4,825,872 
       Series - 2015 SRCH (Class C)                
 3,000,000  g,i  BBCMS Trust      3.688   02/15/53   2,983,463 
       Series - 2020 C6 (Class F5TA)                
 1,000,000     Benchmark Mortgage Trust      3.419   08/15/52   1,094,331 
       Series - 2019 B12 (Class AS)                
 7,750,000  g,i  Benchmark Mortgage Trust      4.029   03/15/62   7,782,304 
       Series - 2019 B10 (Class 3CCA)                
 2,500,000  g  BWAY Mortgage Trust      3.342   01/10/35   2,419,511 
       Series - 2015 1740 (Class C)                
 7,165,504  g,i  BX Commercial Mortgage Trust  LIBOR 1 M + 0.920%   1.105   10/15/36   7,123,046 
       Series - 2019 XL (Class A)                
 4,777,003  g,i  BX Commercial Mortgage Trust  LIBOR 1 M + 1.250%   1.435   10/15/36   4,669,380 
       Series - 2019 XL (Class C)                
 4,777,003  g,i  BX Commercial Mortgage Trust  LIBOR 1 M + 1.800%   1.985   10/15/36   4,621,565 
       Series - 2019 XL (Class E)                
 2,000,000  i  CD Mortgage Trust      3.879   11/10/49   2,011,619 
       Series - 2016 CD2 (Class B)                
 1,000,000  g  Citigroup Commercial Mortgage Trust      4.350   05/10/36   1,011,652 
       Series - 2019 PRM (Class D)                
 5,000,000  i  Citigroup Commercial Mortgage Trust      3.758   04/10/48   5,187,702 
       Series - 2015 GC29 (Class B)                
 4,800,000     Citigroup Commercial Mortgage Trust      3.300   11/10/52   5,234,261 
       Series - 2019 GC43 (Class AS)                
 5,000,000     Citigroup Commercial Mortgage Trust      3.018   08/10/56   5,198,926 
       Series - 2019 GC41 (Class AS)                
 2,250,000  g,i  Cityline Commercial Mortgage Trust      2.871   11/10/31   2,292,502 
       Series - 2016 CLNE (Class A)                
 6,000,000  g  COMM Mortgage Trust      2.681   08/10/29   6,036,277 
       Series - 2016 GCT (Class A)                
 270,000  g  COMM Mortgage Trust      3.086   08/10/29   270,806 
       Series - 2016 GCT (Class B)                
 1,500,000  g,i  COMM Mortgage Trust      3.577   08/10/29   1,370,076 
       Series - 2016 GCT (Class F)                
 3,000,000  g,i  COMM Mortgage Trust      3.712   10/10/29   3,049,306 
       Series - 2017 PANW (Class C)                
 2,815,000  g  COMM Mortgage Trust      4.353   08/10/30   3,017,924 
       Series - 2013 300P (Class A1)                
 3,519,000  g,i  COMM Mortgage Trust      5.463   08/10/46   3,063,082 
       Series - 2013 LC13 (Class D)                
 2,000,000     COMM Mortgage Trust      4.701   03/10/47   2,077,808 
       Series - 2014 UBS2 (Class B)                
 3,000,000  i  COMM Mortgage Trust      5.137   03/10/47   2,861,962 
       Series - 2014 UBS2 (Class C)                
 3,300,000  i  COMM Mortgage Trust      4.703   08/10/47   3,416,490 
       Series - 2014 CR19 (Class B)                
 1,500,000  g,i  COMM Mortgage Trust      4.888   08/10/47   938,382 
       Series - 2014 CR19 (Class D)                
221

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$702,323     COMM Mortgage Trust      3.040%  02/10/48  $727,367 
       Series - 2015 LC19 (Class ASB)                
 3,500,000  g,i  COMM Mortgage Trust      4.244   03/10/48   2,747,196 
       Series - 2015 CR22 (Class D)                
 4,000,000  i  COMM Mortgage Trust      4.435   05/10/48   3,380,470 
       Series - 2015 CR23 (Class D)                
 360,000  i  COMM Mortgage Trust      3.463   08/10/48   269,905 
       Series - 2015 CR24 (Class D)                
 10,632     COMM Mortgage Trust      1.516   10/10/49   10,629 
       Series - 2016 COR1 (Class A1)                
 2,250,000     COMM Mortgage Trust      3.263   08/15/57   2,424,878 
       Series - 2019 GC44 (Class AM)                
 762,966  i  Connecticut Avenue Securities  LIBOR 1 M + 2.600%   2.785   05/25/24   667,202 
       Series - 2014 C02 (Class 1M2)                
 1,732,761  i  Connecticut Avenue Securities  LIBOR 1 M + 3.000%   3.185   07/25/24   1,517,283 
       Series - 2014 C03 (Class 1M2)                
 222,955  i  Connecticut Avenue Securities  LIBOR 1 M + 5.000%   5.185   11/25/24   229,038 
       Series - 2014 C04 (Class 2M2)                
 151,250  i  Connecticut Avenue Securities  LIBOR 1 M + 5.550%   5.735   04/25/28   160,163 
       Series - 2015 C04 (Class 2M2)                
 247,562  i  Connecticut Avenue Securities  LIBOR 1 M + 5.700%   5.885   04/25/28   260,171 
       Series - 2015 C04 (Class 1M2)                
 315,500  i  Connecticut Avenue Securities  LIBOR 1 M + 6.750%   6.935   08/25/28   330,619 
       Series - 2016 C01 (Class 1M2)                
 860,681  i  Connecticut Avenue Securities  LIBOR 1 M + 6.950%   7.135   08/25/28   908,554 
       Series - 2016 C01 (Class 2M2)                
 2,414,326  i  Connecticut Avenue Securities  LIBOR 1 M + 6.000%   6.185   09/25/28   2,503,575 
       Series - 2016 C02 (Class 1M2)                
 1,331,413  i  Connecticut Avenue Securities  LIBOR 1 M + 5.900%   6.085   10/25/28   1,383,963 
       Series - 2016 C03 (Class 2M2)                
 2,473,222  i  Connecticut Avenue Securities  LIBOR 1 M + 4.250%   4.435   01/25/29   2,559,463 
       Series - 2016 C04 (Class 1M2)                
 400,000  i  Connecticut Avenue Securities  LIBOR 1 M + 4.450%   4.635   01/25/29   395,705 
       Series - 2016 C05 (Class 2M2B)                
 2,274,745  i  Connecticut Avenue Securities  LIBOR 1 M + 4.450%   4.635   01/25/29   2,324,355 
       Series - 2016 C05 (Class 2M2)                
 928,123  i  Connecticut Avenue Securities  LIBOR 1 M + 4.250%   4.435   04/25/29   969,411 
       Series - 2016 C06 (Class 1M2)                
 125,317  i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   1.035   09/25/29   113,061 
       Series - 2017 C02 (Class 2ED4)                
 1,257,184  i  Connecticut Avenue Securities  LIBOR 1 M + 2.200%   2.385   01/25/30   1,262,361 
       Series - 2017 C05 (Class 1M2A)                
 288,157  i  Connecticut Avenue Securities  LIBOR 1 M + 2.200%   2.383   08/25/30   281,665 
       Series - 2018 C02 (Class 2M2)                
 428,918  i  Connecticut Avenue Securities  LIBOR 1 M + 0.900%   1.085   08/25/30   410,289 
       Series - 2018 C02 (Class 2EA2)                
 1,016,633  i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   1.035   10/25/30   1,001,239 
       Series - 2018 C03 (Class 1EA2)                
 17,081  i  Connecticut Avenue Securities  LIBOR 1 M + 2.550%   2.735   12/25/30   16,809 
       Series - 2018 C04 (Class 2M2)                
 82,657  i  Connecticut Avenue Securities  LIBOR 1 M + 2.100%   2.285   03/25/31   80,732 
       Series - 2018 C06 (Class 2M2)                
 400,400  g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.450%   2.635   07/25/31   390,615 
       Series - 2019 R01 (Class 2M2)                
222

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$540,526  g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.750%   0.935%  09/25/39  $539,731 
       Series - 2019 R06 (Class 2M1)                
 881,709  g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.800%   0.985   01/25/40   876,694 
       Series - 2020 R01 (Class 1M1)                
 160,000  g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.000%   2.185   01/25/40   151,472 
       Series - 2020 R02 (Class 2M2)                
 112,102  i  Countrywide Home Loan Mortgage Pass Through Trust      3.885   11/20/34   108,871 
       Series - 2004 HYB6 (Class A2)                
 14,000,000  g  CPT Mortgage Trust      2.865   11/13/39   15,235,287 
       Series - 2019 CPT (Class A)                
 2,500,000  g,i  CPT Mortgage Trust      3.097   11/13/39   2,549,376 
       Series - 2019 CPT (Class C)                
 3,500,000  g,i  CPT Mortgage Trust      3.097   11/13/39   3,153,000 
       Series - 2019 CPT (Class E)                
 5,000,000  g,i  Credit Suisse Commercial Mortgage Trust      3.854   11/10/32   5,318,817 
       Series - 2017 CALI (Class B)                
 335,000  g,i  Credit Suisse Commercial Mortgage Trust  LIBOR 1 M + 0.650%   0.835   05/25/36   329,205 
       Series - 2006 CF2 (Class M3)                
 938,420  g,i  Credit Suisse Commercial Mortgage Trust      3.500   02/25/48   970,960 
       Series - 2018 J1 (Class A11)                
 5,750,000  g,i  CSAIL Commercial Mortgage Trust      3.800   06/15/37   4,745,069 
       Series - 2017 C8 (Class 85BB)                
 500,000  g,i  DBUBS Mortgage Trust      5.714   07/10/44   416,387 
       Series - 2011 LC2A (Class D)                
 300,000  g,i  Ellington Financial Mortgage Trust      3.587   06/25/59   283,922 
       Series - 2019 1 (Class M1)                
 288,857  i  Fieldstone Mortgage Investment Trust  LIBOR 1 M + 0.735%   0.920   12/25/35   285,379 
       Series - 2005 2 (Class M2)                
 2,672,730  g,i  FirstKey Mortgage Trust      3.500   11/25/44   2,750,544 
       Series - 2014 1 (Class A8)                
 283,301  g,i  Flagstar Mortgage Trust      4.111   10/25/47   283,726 
       Series - 2017 2 (Class B3)                
 163,027  g,i  Flagstar Mortgage Trust      4.000   09/25/48   166,606 
       Series - 2018 5 (Class A11)                
 3,600,000  g  GRACE Mortgage Trust      3.369   06/10/28   3,608,971 
       Series - 2014 GRCE (Class A)                
 3,000,000  g,i  GS Mortgage Securities Trust  LIBOR 1 M + 1.090%   1.275   10/15/31   2,841,877 
       Series - 2018 HART (Class A)                
 3,500,000  g,i  GS Mortgage Securities Trust      5.351   12/10/43   3,448,929 
       Series - 2010 C2 (Class D)                
 1,950,200  g,i  GS Mortgage Securities Trust      4.285   02/10/46   1,929,748 
       Series - 2013 GC10 (Class C)                
 93,000  i  GS Mortgage Securities Trust      3.919   11/10/49   80,358 
       Series - 2016 GS4 (Class C)                
 2,000,000  g  GS Mortgage Securities Trust      3.000   02/10/52   1,330,067 
       Series - 2019 GC38 (Class D)                
 913,456  g,i  GS Mortgage-Backed Securities Corp Trust      4.000   11/25/49   933,710 
       Series - 2019 PJ2 (Class A4)                
 349,122  g,i  GS Mortgage-Backed Securities Corp Trust      4.000   11/25/49   358,271 
       Series - 2019 PJ2 (Class A1)                
 3,434,243  g,i  GS Mortgage-Backed Securities Corp Trust      3.500   07/25/50   3,512,943 
       Series - 2020 PJ2 (Class A4)                
223

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$431,200  i  HarborView Mortgage Loan Trust  LIBOR 1 M + 0.620%   0.814%  08/19/45  $403,399 
       Series - 2005 11 (Class 2A1A)                
 3,500,000  g  Hudson Yards Mortgage Trust      2.835   08/10/38   3,718,520 
       Series - 2016 10HY (Class A)                
 2,500,000  g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   2,566,300 
       Series - 2016 10HY (Class B)                
 5,750,000  g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   5,741,833 
       Series - 2016 10HY (Class C)                
 2,500,000  g,i  Hudson Yards Mortgage Trust      3.076   08/10/38   2,341,369 
       Series - 2016 10HY (Class E)                
 17,500,000  g,i  Hudson Yards Mortgage Trust      3.558   07/10/39   17,525,002 
       Series - 2019 30HY (Class D)                
 1,500,000  g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   1,438,876 
       Series - 2019 55HY (Class D)                
 8,250,000  g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   7,274,608 
       Series - 2019 55HY (Class E)                
 2,500,000  g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   2,188,686 
       Series - 2019 55HY (Class F)                
 18,917  i  Impac CMB Trust  LIBOR 1 M + 0.660%   0.845   03/25/35   17,862 
       Series - 2004 11 (Class 2A1)                
 1,600,000  g,i  JP Morgan Chase Commercial Mortgage Securities Corp      4.214   01/15/46   1,553,899 
       Series - 2013 C13 (Class D)                
 477,744  g,i  JP Morgan Mortgage Trust      2.241   12/25/44   461,660 
       Series - 2015 1 (Class B1)                
 60,552  g,i  JP Morgan Mortgage Trust      3.500   05/25/45   62,167 
       Series - 2015 3 (Class A19)                
 745,273  g,i  JP Morgan Mortgage Trust      3.500   10/25/45   770,285 
       Series - 2015 6 (Class A13)                
 129,715  g,i  JP Morgan Mortgage Trust      3.500   05/25/46   134,160 
       Series - 2016 1 (Class A13)                
 149,362  g,i  JP Morgan Mortgage Trust      3.500   01/25/47   154,247 
       Series - 2017 1 (Class A3)                
 923,715  g,i  JP Morgan Mortgage Trust      3.500   05/25/47   937,873 
       Series - 2017 2 (Class A5)                
 260,390  g,i  JP Morgan Mortgage Trust      3.500   05/25/47   269,585 
       Series - 2017 2 (Class A13)                
 17,735  g,i  JP Morgan Mortgage Trust      3.500   08/25/47   17,946 
       Series - 2017 3 (Class 1A5)                
 454,975  g,i  JP Morgan Mortgage Trust      3.500   09/25/48   471,848 
       Series - 2018 3 (Class A13)                
 143,907  g,i  JP Morgan Mortgage Trust      3.500   10/25/48   146,551 
       Series - 2018 4 (Class A13)                
 600,945  g,i  JP Morgan Mortgage Trust      3.500   10/25/48   616,289 
       Series - 2018 5 (Class A13)                
 213,499  g,i  JP Morgan Mortgage Trust      4.000   01/25/49   215,536 
       Series - 2018 8 (Class A5)                
 211,014  g,i  JP Morgan Mortgage Trust      4.000   01/25/49   215,723 
       Series - 2018 8 (Class A13)                
 559,834  g,i  JP Morgan Mortgage Trust      4.000   02/25/49   572,321 
       Series - 2018 9 (Class A13)                
224

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$624,891  g,i  JP Morgan Mortgage Trust      4.000%  05/25/49  $643,758 
       Series - 2019 1 (Class A3)                
 756,139  g,i  JP Morgan Mortgage Trust      4.000   05/25/49   772,768 
       Series - 2019 1 (Class A15)                
 162,027  g,i  JP Morgan Mortgage Trust      4.000   08/25/49   162,940 
       Series - 2019 2 (Class A4)                
 660,794  g,i  JP Morgan Mortgage Trust      4.757   09/25/49   699,870 
       Series - 2019 3 (Class B1)                
 902,530  g,i  JP Morgan Mortgage Trust      3.883   06/25/50   861,724 
       Series - 2020 1 (Class B2)                
 2,400,000  i  JPMBB Commercial Mortgage Securities Trust      4.622   09/15/47   2,351,388 
       Series - 2014 C23 (Class C)                
 1,000,000  i  JPMBB Commercial Mortgage Securities Trust      4.445   02/15/48   914,086 
       Series - 2015 C27 (Class C)                
 214,561     JPMDB Commercial Mortgage Securities Trust      1.537   12/15/49   214,778 
       Series - 2016 C4 (Class A1)                
 965,173  g  Ladder Capital Commercial Mortgage Securities      3.575   02/15/36   1,017,059 
       Series - 2013 GCP (Class A1)                
 10,000,000  g  Liberty Street Trust      3.597   02/10/36   10,860,767 
       Series - 2016 225L (Class A)                
 4,000,000  g,i  MAD Mortgage Trust      3.294   08/15/34   4,199,219 
       Series - 2017 330M (Class A)                
 950,968  g  Morgan Stanley Bank of America Merrill Lynch Trust      4.750   12/15/46   958,073 
       Series - 2014 C19 (Class LNC3)                
 704,114     Morgan Stanley Bank of America Merrill Lynch Trust      3.069   02/15/48   728,991 
       Series - 2015 C20 (Class ASB)                
 339,310  i  Morgan Stanley Capital I Trust  LIBOR 1 M + 0.825%   1.010   08/25/34   334,842 
       Series - 2004 HE6 (Class M1)                
 425,000  g,i  Morgan Stanley Capital I Trust  LIBOR 1 M + 0.700%   0.885   11/15/34   422,172 
       Series - 2017 CLS (Class A)                
 1,000,000  g,i  Morgan Stanley Capital I Trust      5.684   09/15/47   992,729 
       Series - 2011 C1 (Class D)                
 210,099  †,i  Morgan Stanley Capital I Trust      6.461   12/12/49   125,219 
       Series - 2007 IQ16 (Class AJFX)                
 1,500,000  g,i  MSDB Trust      3.427   07/11/39   1,588,770 
       Series - 2017 712F (Class A)                
 3,450,000  g,i  Natixis Commercial Mortgage Securities Trust      3.917   11/15/32   3,567,122 
       Series - 2018 285M (Class A)                
 10,500,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 0.784%   0.968   07/15/33   10,212,264 
       Series - 2018 850T (Class A)                
 14,000,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 4.250%   4.435   07/15/36   12,616,624 
       Series - 2019 MILE (Class F)                
225

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$141,044  i  New York Mortgage Trust  LIBOR 1 M + 0.480%   0.665%  02/25/36  $135,405 
       Series - 2005 3 (Class A1)                
 14,500,000  g  One Bryant Park Trust      2.516   09/15/54   15,340,642 
       Series - 2019 OBP (Class A)                
 2,750,000  g  One Market Plaza Trust      3.614   02/10/32   2,878,182 
       Series - 2017 1MKT (Class A)                
 72,884  g  Prima Capital CRE Securitization Ltd      2.550   08/24/49   72,501 
       Series - 2015 4A (Class MR-A)                
 727,874  g,i  Sequoia Mortgage Trust      3.500   05/25/45   750,727 
       Series - 2015 2 (Class A1)                
 192,949  g,i  Sequoia Mortgage Trust      3.500   06/25/46   199,623 
       Series - 2016 1 (Class A19)                
 241,749  g,i  Sequoia Mortgage Trust      3.500   11/25/46   247,051 
       Series - 2016 3 (Class A10)                
 825,809  g,i  Sequoia Mortgage Trust      3.500   02/25/47   846,775 
       Series - 2017 1 (Class A4)                
 1,247,758  g,i  Sequoia Mortgage Trust      3.500   04/25/47   1,265,885 
       Series - 2017 3 (Class A4)                
 614,060  g,i  Sequoia Mortgage Trust      3.500   04/25/47   635,773 
       Series - 2017 3 (Class A19)                
 232,773  g,i  Sequoia Mortgage Trust      3.743   09/25/47   238,960 
       Series - 2017 6 (Class B1)                
 488,188  g,i  Sequoia Mortgage Trust      3.500   02/25/48   501,695 
       Series - 2018 2 (Class A1)                
 161,652  g,i  Sequoia Mortgage Trust      3.500   02/25/48   167,414 
       Series - 2018 2 (Class A19)                
 100,265  g,i  Sequoia Mortgage Trust      3.500   03/25/48   103,034 
       Series - 2018 3 (Class A1)                
 100,441  g,i  Sequoia Mortgage Trust      3.500   03/25/48   102,155 
       Series - 2018 3 (Class A4)                
 220,744  g,i  Sequoia Mortgage Trust      4.000   09/25/48   225,670 
       Series - 2018 7 (Class A19)                
 266,060  g,i  Sequoia Mortgage Trust      4.000   09/25/48   267,995 
       Series - 2018 7 (Class A4)                
 147,757  g,i  Sequoia Mortgage Trust      4.000   11/25/48   150,637 
       Series - 2018 8 (Class A19)                
 1,951,632  g,i  Sequoia Mortgage Trust      4.000   06/25/49   2,003,766 
       Series - 2019 2 (Class A1)                
 262,979  g,i  Sequoia Mortgage Trust      4.000   06/25/49   268,399 
       Series - 2019 2 (Class A19)                
 1,694,591  g,i  Sequoia Mortgage Trust      3.500   11/25/49   1,741,951 
       Series - 2019 4 (Class A1)                
 1,400,145  g,i  Sequoia Mortgage Trust      3.500   12/25/49   1,439,385 
       Series - 2019 5 (Class A1)                
 786,201  g,i  Sequoia Mortgage Trust      3.500   12/25/49   814,672 
       Series - 2019 5 (Class A19)                
 2,749,787  g,i  Sequoia Mortgage Trust      3.000   04/25/50   2,876,625 
       Series - 2020 3 (Class A19)                
 3,125,959  g,i  Shellpoint Co-Originator Trust      3.500   10/25/47   3,198,426 
       Series - 2017 2 (Class A1)                
226

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY DATE  VALUE 
$77,983  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 4.150%   4.335%  01/25/25  $79,149 
       Series - 2015 DN1 (Class M3)                
 1,211,500  i  STACR  LIBOR 1 M + 4.650%   4.835   10/25/28   1,261,066 
       Series - 2016 DNA2 (Class M3)                
 350,439  i  STACR  LIBOR 1 M + 1.350%   1.535   03/25/29   349,301 
       Series - 2016 HQA3 (Class M2)                
 336,000  i  STACR  LIBOR 1 M + 3.250%   3.435   07/25/29   338,935 
       Series - 2017 DNA1 (Class M2)                
 33,075  i  STACR  LIBOR 1 M + 1.200%   1.385   10/25/29   33,104 
       Series - 2017 DNA2 (Class M1)                
 38,614  i  STACR  LIBOR 1 M + 0.750%   0.935   03/25/30   38,614 
       Series - 2017 DNA3 (Class M1)                
 780,987  i  STACR  LIBOR 1 M + 0.950%   1.135   04/25/30   779,598 
       Series - 2017 HQA3 (Class M2AS)                
 1,897,903  i  STACR  LIBOR 1 M + 2.350%   2.535   04/25/30   1,890,917 
       Series - HQA3 (Class M2)                
 233,230  g,i  STACR      3.726   02/25/48   233,244 
       Series - 2018 SPI1 (Class M1)                
 41,278  g,i  STACR      3.809   05/25/48   41,211 
       Series - 2018 SPI2 (Class M1)                
 742,630  g,i  STACR      4.466   11/25/48   732,709 
       Series - 2018 SPI4 (Class M2)                
 1,810,000  g,i  STACR  LIBOR 1 M + 2.050%   2.235   11/25/49   1,755,600 
       Series - 2019 HQA4 (Class M2)                
 360,000  g,i  STACR  LIBOR 1 M + 1.850%   2.035   02/25/50   341,318 
       Series - 2020 DNA2 (Class M2)                
 342,000  g,i  STACR  LIBOR 1 M + 3.100%   3.285   03/25/50   327,442 
       Series - 2020 HQA2 (Class M2)                
 12,640,000  g  VNDO Mortgage Trust      3.808   12/13/29   12,661,702 
       Series - 2013 PENN (Class A)                
 2,925,000  g,i  VNDO Trust      3.448   11/15/30   2,973,502 
       Series - 2012 6AVE (Class C)                
 2,711,000  g  VNDO Trust      3.805   01/10/35   3,010,823 
       Series - 2016 350P (Class A)                
 3,000,000  g,i  VNDO Trust      4.033   01/10/35   3,276,307 
       Series - 2016 350P (Class B)                
 424,192  i  Wachovia Bank Commercial Mortgage Trust      5.748   04/15/47   413,694 
       Series - 2007 C31 (Class F)                
 750,000     Wells Fargo Commercial Mortgage Trust      2.514   08/15/49   774,697 
       Series - 2016 BNK1 (Class ASB)                
 750,000     Wells Fargo Commercial Mortgage Trust      3.185   03/15/59   789,543 
       Series - 2016 C33 (Class ASB)                
 458,147  g,i  Wells Fargo Mortgage Backed Securities Trust      4.000   04/25/49   471,992 
       Series - 2019 2 (Class A17)                
 350,000  g,i  WFRBS Commercial Mortgage Trust      5.174   02/15/44   350,767 
       Series - 2011 C2 (Class B)                
227

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY DATE  VALUE 
$750,000     WFRBS Commercial Mortgage Trust      3.311%  03/15/45  $773,412 
       Series - 2013 C11 (Class AS)                
 650,000  i  WFRBS Commercial Mortgage Trust      4.845   12/15/46   589,128 
       Series - 2013 C18 (Class C)                
       TOTAL OTHER MORTGAGE BACKED              360,092,530 
                        
       TOTAL STRUCTURED ASSETS              578,372,856 
       (Cost $582,473,786)                
                        
       TOTAL BONDS              5,258,341,553 
       (Cost $5,070,576,481)                
                        
SHARES     COMPANY                
PREFERRED STOCKS - 0.5%
                        
REAL ESTATE - 0.4%                
 400,000  *  Brookfield Property Partners LP              7,252,000 
 695,000  *  Brookfield Property Partners LP              11,509,200 
       TOTAL REAL ESTATE              18,761,200 
                        
UTILITIES - 0.1%                
 308,000  *  Brookfield Renewable Partners LP              7,727,720 
       TOTAL UTILITIES              7,727,720 
                        
       TOTAL PREFERRED STOCKS              26,488,920 
       (Cost $35,075,000)                
                        
SHORT-TERM INVESTMENTS - 8.0%
                        
GOVERNMENT AGENCY DEBT - 4.4%
$25,000,000     Federal Agricultural Mortgage Corp (FAMC)      0.090   07/06/20   24,999,584 
 16,325,000     Federal Home Loan Bank (FHLB)      0.150   07/02/20   16,324,945 
 30,000,000     FHLB      0.070-0.120   07/09/20   29,999,200 
 12,700,000     FHLB      0.100-0.120   07/14/20   12,699,450 
 38,117,000     FHLB      0.100-0.140   07/16/20   38,115,094 
 29,895,000     FHLB      0.100-0.130   07/21/20   29,893,007 
 35,605,000     FHLB      0.090   08/07/20   35,599,511 
 20,330,000     FHLB      0.120-0.140   08/17/20   20,326,019 
228

TIAA-CREF FUNDS – Core Impact Bond Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY DATE  VALUE 
$26,310,000     FHLB      0.140-150%  09/23/20  $26,301,405 
       TOTAL GOVERNMENT AGENCY DEBT              234,258,215 
                        
REPURCHASE AGREEMENT - 0.6%
 30,000,000  r  Fixed Income Clearing Corp      0.070   07/01/20   30,000,000 
       TOTAL REPURCHASE AGREEMENT              30,000,000 
                        
TREASURY DEBT - 3.0%
 50,000,000     United States Treasury Bill       0.120   07/02/20   49,999,868 
 6,820,000     United States Treasury Bill       0.100   07/09/20   6,819,807 
 50,000,000     United States Treasury Bill       0.070   07/14/20   49,998,081 
 29,620,000     United States Treasury Bill       0.100   07/28/20   29,617,056 
 10,000,000     United States Treasury Bill       0.120   08/04/20   9,998,796 
 17,795,000     United States Treasury Bill       0.080   08/20/20   17,791,911 
       TOTAL TREASURY DEBT               164,225,519 
                         
       TOTAL SHORT-TERM INVESTMENTS               428,483,734 
       (Cost $428,484,829)                 
                         
       TOTAL INVESTMENTS - 107.1%               5,720,094,740 
       (Cost $5,541,040,206)                 
       OTHER ASSETS & LIABILITIES, NET - (7.1)%               (377,909,022)
       NET ASSETS - 100.0%              $5,342,185,718 
       
     
    Abbreviation(s):
DGS1   1-Year Treasury Constant Maturity Rate
DGS5   5-Year Treasury Constant Maturity Rate
EUR   Euro
LIBOR   London Interbank Offered Rate
M   Month
REIT   Real Estate Investment Trust
SOFR   Secure Overnight Financing Rate
     
*   Non-income producing
  Security is categorized as Level 3 in the fair value hierarchy.
  Perpetual security
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $1,204,071,390 or 22.5% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
j   Zero coupon
k   Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
q   In default
r   Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $30,000,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $30,600,027.

 

Forward foreign currency contracts outstanding as of June 30, 2020 were as follows:

 

Currency to be
purchased
    Receive   Currency to be
sold
    Deliver   Counterparty  Settlement date  Unrealized appreciation (depreciation) 
$   7,334,559   EUR   6,490,250   Citibank, N.A.  09/30/20  $27,904 

 

       
    Abbreviation(s):
EUR   Euro
229

TIAA-CREF FUNDS – Core Plus Bond Fund

 

TIAA-CREF FUNDS

CORE PLUS BOND FUND

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2020

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
BANK LOAN OBLIGATIONS - 2.4%                
                        
AUTOMOBILES & COMPONENTS - 0.1%                
$1,743,103  i  Clarios Global LP  LIBOR 3 M + 3.500%   3.678%  04/30/26  $1,655,948 
 2,708,504  i  Gates Global LLC  LIBOR 3 M + 2.750%   3.750   04/01/24   2,602,412 
       TOTAL AUTOMOBILES & COMPONENTS              4,258,360 
                        
BANKS - 0.0%                
 400,000  h,i  PQ Corp  LIBOR 1 M + 3.000%   4.000   02/07/27   385,500 
       TOTAL BANKS              385,500 
                        
CAPITAL GOODS - 0.1%                
 2,524,838  i  CHI Overhead Doors, Inc  LIBOR 3 M + 3.250%   4.250   07/31/22   2,452,249 
 1,492,500  i  Fluidra SA  LIBOR 1 M + 2.000%   2.184   07/02/25   1,430,934 
 323,920  i  Penn Engineering & Manufacturing Corp  LIBOR 3 M + 2.750%   3.750   06/27/24   310,964 
 244,930  i  PODS LLC  LIBOR 3 M + 2.750%   3.750   12/06/24   233,756 
 482,500  i  Proampac PG Borrower LLC  LIBOR 3 M + 3.500%   4.500   11/20/23   458,978 
 493,725  i  Prometric Holdings Inc  LIBOR 3 M + 3.000%   4.500   01/29/25   444,970 
 1,476,880  i  TransDigm, Inc  LIBOR 1 M + 2.250%   2.428   12/09/25   1,324,969 
       TOTAL CAPITAL GOODS              6,656,820 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 0.3%                
 2,164,125  i  Allied Universal Holdco LLC  LIBOR 1 M + 4.250%   4.428   07/10/26   2,098,747 
 1,000,000  i  Amentum Government Services Holdings LLC  LIBOR 1 M + 4.000%   4.178   01/29/27   979,580 
 1,940,000  i  Clean Harbors, Inc  LIBOR 3 M + 1.750%   1.928   06/28/24   1,894,740 
 1,590,575  i  GFL Environmental, Inc  LIBOR 3 M + 3.000%   4.000   05/30/25   1,543,192 
 596,939  i  Packers Holdings LLC  LIBOR 3 M + 3.250%   4.000   12/04/24   570,375 
 120,000  i  Presidio Holdings, Inc  LIBOR 1 M + 3.500%   4.270   01/22/27   115,400 
 1,404,126  i  Prime Security Services  LIBOR 1 M + 3.250%   4.250   09/23/26   1,347,090 
 1,736,635  i  Spin Holdco, Inc  LIBOR 3 M + 3.250%   4.250   11/14/22   1,658,208 
 2,522,750  i  Trans Union LLC  LIBOR 1 M + 1.750%   1.928   11/16/26   2,408,444 
 1,115,640  i  WASH Multifamily Laundry Systems LLC  LIBOR 3 M + 3.250%   4.250   05/16/22   1,065,436 
 195,382  i  WASH Multifamily Laundry Systems LLC  LIBOR 3 M + 3.250%   4.250   05/16/22   186,589 
 1,440,226  i  West Corp  LIBOR 3 M + 4.000%   5.000   10/10/24   1,223,544 
 1,196,736  i  XPO Logistics, Inc  LIBOR 3 M + 2.000%   2.178   02/24/25   1,164,101 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES           16,255,446 
                        
CONSUMER DURABLES & APPAREL - 0.0%                
 497,436  i  Wilsonart LLC  LIBOR 3 M + 3.250%   4.250   12/19/23   478,628 
       TOTAL CONSUMER DURABLES & APPAREL           478,628 
                        
CONSUMER SERVICES - 0.2%                
 360,000  h,i  Caesars Resort Collection LLC  LIBOR 1 M + 4.500%   4.500   06/19/25   337,727 
 2,373,992  i,q  CDS US Intermediate Holdings, Inc  LIBOR 3 M + 3.750%   4.750   07/08/22   1,059,394 
 1,733,245  i  KUEHG Corp  LIBOR 3 M + 3.750%   4.750   02/21/25   1,461,489 
 2,242,629  i  Scientific Games International, Inc  LIBOR 1 M + 2.750%   3.058   08/14/24   1,977,999 
 3,484,285  i  Sterling Midco Holdings, Inc  LIBOR 3 M + 3.500%   4.500   06/19/24   2,977,984 
230

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$1,994,898  i  YUM! Brands  LIBOR 3 M + 1.750%   1.944%  04/03/25  $1,907,621 
       TOTAL CONSUMER SERVICES              9,722,214 
                        
DIVERSIFIED FINANCIALS - 0.0%                
 376,131  i  Lions Gate Capital Holdings LLC  LIBOR 3 M + 2.250%   2.428   03/24/25   354,741 
       TOTAL DIVERSIFIED FINANCIALS              354,741 
                        
ENERGY - 0.0%                
 850,000  i  ChampionX Holding, Inc  LIBOR 1 M + 5.000%   6.000   05/28/27   835,125 
 648,375  i  Delek US Holdings, Inc  LIBOR 1 M + 5.500%   6.500   04/01/25   616,767 
       TOTAL ENERGY              1,451,892 
                        
FOOD, BEVERAGE & TOBACCO - 0.1%                
 1,800,000  i  Froneri US, Inc  LIBOR 1 M + 2.250%   2.428   01/29/27   1,688,634 
       TOTAL FOOD, BEVERAGE & TOBACCO              1,688,634 
                        
HEALTH CARE EQUIPMENT & SERVICES - 0.3%                
 2,030,365  i  Change Healthcare Holdings LLC  LIBOR 1 M + 2.500%   3.500   03/01/24   1,946,044 
 450,000  i  Da Vinci Purchaser Corp  LIBOR 1 M + 4.000%   5.238   01/08/27   437,063 
 1,387,463  i  Endo Luxembourg Finance I Co Sarl  LIBOR 3 M + 4.250%   5.000   04/29/24   1,307,684 
 992,288  i  ExamWorks Group Inc  LIBOR 3 M + 3.250%   4.322   07/27/23   967,481 
 1,492,472  i  Gentiva Health Services, Inc  LIBOR 1 M + 3.250%   3.438   07/02/25   1,442,101 
 541,932  i  Greatbatch Ltd  LIBOR 1 M + 2.500%   3.500   10/27/22   532,719 
 1,738,240  i  Jaguar Holding Co II  LIBOR 3 M + 2.500%   3.500   08/18/22   1,714,878 
 1,448,934  i  Midwest Physician Administrative Services LLC  LIBOR 3 M + 2.750%   3.500   08/15/24   1,356,927 
 960,000  i  Precyse Acquisition Corp  LIBOR 3 M + 4.500%   5.500   10/20/22   787,200 
 2,767,907  i  RegionalCare Hospital Partners Holdings, Inc  LIBOR 1 M + 3.750%   3.924   11/16/25   2,587,633 
 2,000,000  i  Select Medical Corp  LIBOR 3 M + 2.500%   2.680   03/06/25   1,895,840 
 2,065,466  i  Team Health Holdings, Inc  LIBOR 3 M + 2.750%   3.750   02/06/24   1,573,637 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES           16,549,207 
                        
INSURANCE - 0.1%                
 218,291  i  Acrisure LLC  LIBOR 1 M + 3.500%   3.678   02/15/27   205,739 
 1,563,488  i  Asurion LLC  LIBOR 1 M + 3.000%   3.178   08/04/22   1,519,194 
 330,378  i  Asurion LLC  LIBOR 1 M + 3.000%   3.178   11/03/23   319,089 
 800,000  i  Asurion LLC  LIBOR 3 M + 6.500%   6.678   08/04/25   794,000 
 995,000  i  HUB International Ltd  LIBOR 1 M + 4.000%   5.000   04/25/25   976,095 
 1,989,770  i  USI, Inc  LIBOR 3 M + 3.000%   3.308   05/16/24   1,884,312 
       TOTAL INSURANCE              5,698,429 
                        
MATERIALS - 0.2%                
 492,865  i  Atotech Alpha 3 BV  LIBOR 3 M + 3.000%   4.000   01/31/24   473,520 
 2,000,000  i  Berry Global, Inc  LIBOR 1 M + 2.000%   2.177   10/01/22   1,944,540 
 706,076  i  Flex Acquisition Co, Inc  LIBOR 3 M + 3.000%   4.433   12/31/23   673,166 
 206,752  i  H.B. Fuller Co  LIBOR 3 M + 2.000%   2.190   10/21/24   199,200 
 1,177,893  i  Messer Industries USA, Inc  LIBOR 3 M + 2.500%   2.808   03/01/26   1,120,470 
 401,448  i  Plastipak Holdings, Inc  LIBOR 3 M + 2.500%   2.680   10/15/24   386,823 
 2,707,548  i  Quikrete Holdings, Inc  LIBOR 1 M + 2.500%   2.678   02/01/27   2,597,567 
 1,548,090  i  Tronox Finance LLC  LIBOR 3 M + 3.000%   3.058   09/23/24   1,482,730 
 1,496,250  i  Zekelman Industries, Inc  LIBOR 1 M + 2.250%   2.430   01/25/27   1,430,789 
       TOTAL MATERIALS              10,308,805 
231

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
MEDIA & ENTERTAINMENT - 0.2%                
$300,000  h,i  Banijay Group US Holding, Inc  LIBOR 1 M + 3.750%   4.750%  03/04/25  $283,500 
 1,511,836  i  CSC Holdings LLC  LIBOR 3 M + 2.250%   2.435   07/17/25   1,426,795 
 992,500  i  Diamond Sports Group LLC  LIBOR 1 M + 3.250%   3.430   08/24/26   805,166 
 699,749  i  EIG Investors Corp  LIBOR 3 M + 3.750%   4.750   02/09/23   674,089 
 250,000  i  GOBP Holdings, Inc  LIBOR 1 M + 2.750%   3.744   10/22/25   239,687 
 450,000  i  Match Group, Inc  LIBOR 1 M + 1.750%   2.184   02/07/27   425,250 
 1,375,000  i  Nielsen Finance LLC  LIBOR 1 M + 3.750%   4.750   06/06/25   1,359,531 
 497,500  i  Pregis TopCo Corp  LIBOR 1 M + 4.000%   4.178   07/31/26   478,635 
 771,125  i  Terrier Media Buyer, Inc  LIBOR 1 M + 4.250%   4.428   12/17/26   733,857 
 1,869,829  i  Univision Communications, Inc  LIBOR 1 M + 3.750%   4.750   06/24/26   1,834,769 
 850,000  i  Vertical US Newco, Inc  LIBOR 1 M + 4.250%   4.250   06/30/27   833,000 
       TOTAL MEDIA & ENTERTAINMENT              9,094,279 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.1%             
 1,774,813  i  Alphabet Holding Co, Inc  LIBOR 3 M + 3.500%   3.678   09/26/24   1,666,655 
 1,807,979  i  Bausch Health Americas, Inc  LIBOR 3 M + 3.000%   3.190   06/02/25   1,754,427 
 997,169  i  PAREXEL International Corp  LIBOR 3 M + 2.750%   2.928   09/27/24   942,953 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES       4,364,035 
                        
REAL ESTATE - 0.1%                
 2,758,088  i  Cushman & Wakefield plc  LIBOR 1 M + 2.750%   2.928   08/21/25   2,591,223 
       TOTAL REAL ESTATE              2,591,223 
                        
RETAILING - 0.1%                
 1,318,375  i  Camelot Finance S.A.  LIBOR 1 M + 3.250%   3.178   10/28/26   1,274,711 
 216,057  †,i  FBB Holdings III, Inc  LIBOR 1 M + 9.000%   10.000   02/07/24   84,262 
 889,346  i  Men’s Wearhouse, Inc  LIBOR 3 M + 3.250%   4.250   04/09/25   142,295 
 1,842,740  i  PetSmart, Inc  LIBOR 1 M + 4.000%   5.000   03/11/22   1,815,725 
 806,830  i  Sally Holdings LLC  LIBOR 3 M + 2.250%   2.430   07/05/24   766,488 
 1,955,250  i  Staples, Inc  LIBOR 3 M + 5.000%   5.687   04/16/26   1,676,627 
       TOTAL RETAILING              5,760,108 
                        
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.0%             
 677,217  i  MKS Instruments, Inc  LIBOR 1 M + 1.750%   1.928   02/02/26   646,952 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT       646,952 
                        
SOFTWARE & SERVICES - 0.1%                
 1,247,345  i  Mitchell International, Inc  LIBOR 3 M + 3.250%   3.428   11/29/24   1,160,817 
 125,000  h,i  Ultimate Software Group, Inc  LIBOR 1 M + 4.000%   4.750   05/04/26   123,301 
 1,750,000  i  Web.com Group Inc  LIBOR 3 M + 3.750%   3.940   10/10/25   1,650,827 
       TOTAL SOFTWARE & SERVICES              2,934,945 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 0.1%                
 1,979,950  i  Dell International LLC  LIBOR 1 M + 2.000%   2.750   09/19/25   1,926,214 
 230,391  i  MTS Systems Corp  LIBOR 3 M + 3.250%   4.000   07/05/23   220,023 
 1,283,750  i  Pitney Bowes Inc  LIBOR 1 M + 5.500%   5.680   01/07/25   1,068,080 
 2,750,000  i  Western Digital Corp  LIBOR 1 M + 1.750%   1.924   04/29/23   2,670,085 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT       5,884,402 
                        
TELECOMMUNICATION SERVICES - 0.1%               
 1,149,315  i  CNT Holdings III Corp  LIBOR 3 M + 3.250%   4.080   01/22/23   1,115,916 
 698,250  i  Front Range BidCo, Inc  LIBOR 1 M + 3.000%   3.178   03/09/27   661,187 
 2,875,000  i  T-Mobile USA, Inc  LIBOR 1 M + 3.000%   3.178   04/01/27   2,868,790 
       TOTAL TELECOMMUNICATION SERVICES           4,645,893 
232

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
TRANSPORTATION - 0.1%                
$1,525,000  i  Delta Air Lines, Inc  LIBOR 1 M + 4.750%   5.510%  04/27/23  $1,493,555 
 1,995,000  i  Genesee & Wyoming, Inc  LIBOR 1 M + 2.000%   2.308   12/30/26   1,916,277 
 475,000     United Air Lines, Inc      6.500   06/26/27   471,238 
       TOTAL TRANSPORTATION              3,881,070 
                        
UTILITIES - 0.1%                
 997,500  i  AssuredPartners Inc  LIBOR 1 M + 4.500%   5.500   02/12/27   977,550 
 470,063  i  AssuredPartners, Inc  LIBOR 1 M + 3.500%   3.678   02/12/27   448,576 
 1,989,628  i  Gopher Resource LLC  LIBOR 3 M + 3.250%   4.250   03/06/25   1,885,173 
 1,542,250  i  ProQuest LLC  LIBOR 1 M + 3.500%   3.678   10/23/26   1,486,822 
 427,500  i  Talen Energy Supply LLC  LIBOR 1 M + 3.750%   3.928   06/26/26   416,812 
       TOTAL UTILITIES              5,214,933 
                        
       TOTAL BANK LOAN OBLIGATIONS              118,826,516 
       (Cost $126,266,578)                
                        
BONDS - 92.3%                
                        
CORPORATE BONDS - 42.2%                
                        
AUTOMOBILES & COMPONENTS - 0.8%                
 350,000  g  Adient Global Holdings Ltd      4.875   08/15/26   288,750 
 350,000  g  Adient US LLC      9.000   04/15/25   377,020 
 720,000  g  Allison Transmission, Inc      5.000   10/01/24   718,200 
 1,625,000  g  Clarios Global LP      6.750   05/15/25   1,690,000 
 1,500,000  g  Dana Financing Luxembourg SARL      6.500   06/01/26   1,552,500 
 575,000     Dana, Inc      5.375   11/15/27   570,688 
 350,000     Dana, Inc      5.625   06/15/28   347,442 
 750,000     Ford Motor Co      8.500   04/21/23   793,125 
 775,000     Ford Motor Co      9.000   04/22/25   837,969 
 1,000,000     Ford Motor Co      7.450   07/16/31   1,052,500 
 4,900,000  g  Gates Global LLC      6.250   01/15/26   4,853,009 
 3,300,000     General Motors Co      6.125   10/01/25   3,708,556 
 2,300,000     General Motors Co      5.000   10/01/28   2,442,521 
 1,350,000     General Motors Co      6.600   04/01/36   1,467,833 
 3,325,000     General Motors Co      5.200   04/01/45   3,215,526 
 750,000     General Motors Co      6.750   04/01/46   817,436 
 10,000,000     Goodyear Tire & Rubber Co      9.500   05/31/25   10,712,500 
 1,650,000  g  Hyundai Capital America      3.000   02/10/27   1,629,374 
 250,000  g,o  IHO Verwaltungs GmbH      4.750   09/15/26   245,000 
 1,450,000     Magna International, Inc      3.625   06/15/24   1,578,099 
       TOTAL AUTOMOBILES & COMPONENTS              38,898,048 
                        
BANKS - 7.8%                
 2,000,000  g,h  Akbank T.A.S.      6.800   02/06/26   1,999,800 
 2,000,000  g  Akbank TAS      6.797   04/27/28   1,798,000 
 2,450,000  g,i  Australia & New Zealand Banking Group Ltd  DGS5 + 1.288%   2.950   07/22/30   2,499,580 
 2,425,000  g  Banco del Estado de Chile      4.125   10/07/20   2,437,125 
 3,000,000  g  Banco del Estado de Chile      2.668   01/08/21   3,015,026 
233

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$2,375,000  g  Banco del Estado de Chile      2.704%  01/09/25  $2,440,312 
 2,000,000  g  Banco Internacional del Peru SAA Interbank      3.375   01/18/23   2,029,420 
 3,000,000  g,h,i  Banco Internacional del Peru SAA Interbank  DGS1 + 3.711%   4.000   07/08/30   3,000,000 
 2,150,000  g  Banco Santander Mexico S.A. Institucion de Banca Multiple Grupo Financiero Santand      5.375   04/17/25   2,352,960 
 1,000,000     Banco Santander S.A.      2.746   05/28/25   1,035,820 
 1,905,000     Banco Santander S.A.      3.800   02/23/28   2,067,241 
 1,700,000     Bancolombia S.A.      3.000   01/29/25   1,666,170 
 2,000,000  i  Bancolombia S.A.  DGS5 + 2.944%   4.625   12/18/29   1,885,000 
 3,000,000  g,i  Bank Leumi Le-Israel BM  DGS5 + 1.631%   3.275   01/29/31   2,914,284 
 2,150,000     Bank of America Corp      3.875   08/01/25   2,434,299 
 11,975,000     Bank of America Corp      2.456   10/22/25   12,598,024 
 3,850,000     Bank of America Corp      4.250   10/22/26   4,413,341 
 3,325,000     Bank of America Corp      3.559   04/23/27   3,710,970 
 2,735,000     Bank of America Corp      3.248   10/21/27   3,016,360 
 1,375,000     Bank of America Corp      3.824   01/20/28   1,563,791 
 5,004,000     Bank of America Corp      3.419   12/20/28   5,572,653 
 3,625,000     Bank of America Corp      2.884   10/22/30   3,921,604 
 20,250,000     Bank of America Corp      2.496   02/13/31   21,225,817 
 5,525,000     Bank of America Corp      2.592   04/29/31   5,844,077 
 2,000,000     Bank of America Corp      4.083   03/20/51   2,495,609 
 630,000     Bank of America Corp      6.300   N/A‡   699,124 
 7,000,000     Bank of America Corp      6.100   N/A‡   7,385,000 
 6,300,000  i  Bank of New York Mellon Corp  DGS5 + 4.358%   4.700   N/A‡   6,552,000 
 1,500,000     Barclays plc      4.338   05/16/24   1,615,473 
 3,000,000     Barclays plc      3.932   05/07/25   3,241,106 
 1,500,000  g  BNG Bank NV      1.500   10/16/24   1,564,075 
 1,800,000  g  BPCE S.A.      4.625   07/11/24   1,963,212 
 6,735,000     Citigroup, Inc      1.678   05/15/24   6,866,117 
 1,625,000     Citigroup, Inc      3.875   03/26/25   1,769,971 
 4,100,000     Citigroup, Inc      3.106   04/08/26   4,395,835 
 5,895,000     Citigroup, Inc      3.200   10/21/26   6,464,910 
 2,805,000     Citigroup, Inc      4.300   11/20/26   3,183,726 
 6,070,000     Citigroup, Inc      4.450   09/29/27   6,917,349 
 11,200,000     Citigroup, Inc      2.666   01/29/31   11,622,896 
 8,300,000     Citigroup, Inc      4.412   03/31/31   9,816,309 
 7,500,000     Citigroup, Inc      6.300   N/A‡   7,513,050 
 10,000,000     Citigroup, Inc      5.000   N/A‡   9,413,050 
 1,525,000     Citizens Bank NA      2.650   05/26/22   1,576,011 
 1,380,000     Cooperatieve Rabobank UA      3.950   11/09/22   1,460,133 
 1,350,000  g  Cooperatieve Rabobank UA      2.625   07/22/24   1,433,653 
 5,725,000     Cooperatieve Rabobank UA      3.750   07/21/26   6,293,149 
 1,325,000  g  Credicorp Ltd      2.750   06/17/25   1,318,574 
 2,325,000  g  Credit Agricole S.A.      3.250   10/04/24   2,496,510 
 3,000,000  g  Credit Agricole S.A.      1.907   06/16/26   3,041,247 
 830,000  g  Danske Bank AS      5.375   01/12/24   923,643 
 1,525,000  g,i  DBS Group Holdings Ltd  USD ICE SWAP RATE 11:00 NY 5 + 1.590%   4.520   12/11/28   1,646,237 
 1,206,000     Discover Bank      3.200   08/09/21   1,232,809 
 2,450,000     Discover Bank      2.450   09/12/24   2,569,462 
 800,000     Discover Bank      4.250   03/13/26   899,229 
 1,625,000     Discover Bank      3.450   07/27/26   1,756,817 
 1,375,000     Discover Bank      2.700   02/06/30   1,384,981 
 1,100,000     HSBC Holdings plc      3.033   11/22/23   1,149,263 
234

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$2,200,000     HSBC Holdings plc      3.803%  03/11/25  $2,376,923 
 1,775,000     HSBC Holdings plc      2.633   11/07/25   1,840,607 
 1,300,000     HSBC Holdings plc      3.900   05/25/26   1,443,280 
 5,675,000     HSBC Holdings plc      4.292   09/12/26   6,312,748 
 630,000     HSBC Holdings plc      4.375   11/23/26   697,712 
 1,250,000     HSBC Holdings plc      4.041   03/13/28   1,381,315 
 1,325,000     HSBC Holdings plc      4.950   03/31/30   1,585,670 
 2,200,000     HSBC Holdings plc      3.973   05/22/30   2,441,677 
 990,000     Huntington Bancshares, Inc      4.000   05/15/25   1,121,440 
 5,000,000     Huntington Bancshares, Inc      5.625   N/A‡   5,170,000 
 2,625,000     Huntington National Bank      2.500   08/07/22   2,724,453 
 1,075,000  g  ING Groep NV      4.625   01/06/26   1,259,508 
 1,100,000     ING Groep NV      3.950   03/29/27   1,265,768 
 700,000     JPMorgan Chase & Co      2.700   05/18/23   737,811 
 5,000,000     JPMorgan Chase & Co      3.875   09/10/24   5,543,611 
 660,000     JPMorgan Chase & Co      3.900   07/15/25   748,500 
 5,525,000     JPMorgan Chase & Co      2.301   10/15/25   5,787,572 
 925,000     JPMorgan Chase & Co      2.083   04/22/26   959,717 
 350,000     JPMorgan Chase & Co      3.200   06/15/26   388,484 
 13,880,000     JPMorgan Chase & Co      3.702   05/06/30   15,940,982 
 3,825,000     JPMorgan Chase & Co      2.739   10/15/30   4,102,845 
 5,000,000     JPMorgan Chase & Co      4.493   03/24/31   6,108,229 
 4,100,000     JPMorgan Chase & Co      2.522   04/22/31   4,330,049 
 4,575,000     JPMorgan Chase & Co      2.956   05/13/31   4,864,958 
 1,250,000     JPMorgan Chase & Co      4.260   02/22/48   1,574,241 
 1,500,000     JPMorgan Chase & Co      6.750   N/A‡   1,612,500 
 6,400,000     JPMorgan Chase & Co      5.000   N/A‡   6,155,552 
 890,000     Keycorp      5.000   N/A‡   841,050 
 1,800,000     Mitsubishi UFJ Financial Group, Inc      2.193   02/25/25   1,859,951 
 400,000     MUFG Americas Holdings Corp      3.500   06/18/22   419,947 
 1,140,000     Northern Trust Corp      3.950   10/30/25   1,315,368 
 1,275,000     PNC Bank NA      2.450   11/05/20   1,281,819 
 1,200,000     PNC Bank NA      2.700   10/22/29   1,278,808 
 2,500,000     PNC Financial Services Group, Inc      3.900   04/29/24   2,759,272 
 4,000,000  i  Regions Financial Corp  DGS5 + 5.430%   5.750   N/A‡   4,117,200 
 10,000,000  g  Royal Bank of Canada      3.350   10/22/21   10,372,997 
 2,900,000     Royal Bank of Canada      2.550   07/16/24   3,079,648 
 1,925,000  i  Royal Bank of Scotland Group plc  DGS1 + 2.550%   3.073   05/22/28   2,020,650 
 2,325,000     Santander Holdings USA, Inc      3.400   01/18/23   2,420,146 
 3,000,000  g  Skandinaviska Enskilda Banken AB      2.625   11/17/20   3,023,099 
 590,000  g  Standard Chartered plc      7.500   N/A‡   608,998 
 3,675,000     Sumitomo Mitsui Financial Group, Inc      2.778   10/18/22   3,841,019 
 2,250,000     Sumitomo Mitsui Financial Group, Inc      2.696   07/16/24   2,383,583 
 2,700,000     Toronto-Dominion Bank      1.850   09/11/20   2,708,020 
 475,000  i  Toronto-Dominion Bank  USD SWAP SEMI 30/360 5 Y + 2.205%   3.625   09/15/31   530,447 
 1,350,000     Truist Bank      3.525   10/26/21   1,362,852 
 575,000     Truist Bank      2.750   05/01/23   606,547 
 1,225,000     Truist Bank      2.150   12/06/24   1,287,927 
 5,055,000     Truist Financial Corp      4.800   N/A‡   4,656,059 
 1,195,000     Truist Financial Corp      5.050   N/A‡   1,066,537 
 1,700,000  g,i  United Overseas Bank Ltd  DGS5 + 1.500%   3.750   04/15/29   1,797,159 
 23,900,000     Wells Fargo Bank NA      2.082   09/09/22   24,285,592 
235

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$2,350,000     Westpac Banking Corp      2.850%  05/13/26  $2,586,711 
 1,300,000  i  Westpac Banking Corp  DGS5 + 2.000%   4.110   07/24/34   1,434,907 
       TOTAL BANKS              390,524,669 
                        
CAPITAL GOODS - 1.0%                
 2,250,000  g  Adaro Indonesia PT      4.250   10/31/24   2,123,438 
 425,000  g  American Woodmark Corp      4.875   03/15/26   413,474 
 1,300,000     Anixter, Inc      5.125   10/01/21   1,368,380 
 1,250,000  g  BAE Systems plc      3.400   04/15/30   1,363,228 
 2,825,000  g  Beacon Roofing Supply, Inc      4.500   11/15/26   2,778,161 
 2,000,000  g  BOC Aviation Ltd      3.000   09/11/29   1,971,000 
 600,000  g  Cloud Crane LLC      10.125   08/01/24   590,070 
 115,000     General Electric Co      6.875   01/10/39   141,342 
 1,250,000  g  Gold Fields Orogen Holdings BVI Ltd      6.125   05/15/29   1,426,625 
 775,000     Howmet Aerospace, Inc      6.875   05/01/25   841,744 
 3,195,000     Ingersoll-Rand Luxembourg Finance S.A.      3.800   03/21/29   3,614,832 
 1,590,000     John Deere Capital Corp      2.650   06/24/24   1,709,391 
 800,000     L3Harris Technologies, Inc      3.850   06/15/23   869,800 
 875,000     L3Harris Technologies, Inc      2.900   12/15/29   942,039 
 500,000  g  Land O’ Lakes, Inc      8.000   N/A‡   485,000 
 670,000     Lockheed Martin Corp      2.500   11/23/20   674,545 
 500,000     Lockheed Martin Corp      1.850   06/15/30   512,374 
 650,000     Lockheed Martin Corp      2.800   06/15/50   685,605 
 375,000  g  Molex Electronic Technologies LLC      3.900   04/15/25   390,741 
 3,000,000  g  NBM US Holdings, Inc      6.625   08/06/29   3,044,100 
 1,925,000     Northrop Grumman Corp      3.250   01/15/28   2,150,731 
 4,615,000     Parker-Hannifin Corp      3.250   06/14/29   5,098,083 
 1,500,000  g  PowerTeam Services LLC      9.033   12/04/25   1,530,000 
 2,000,000     Raytheon Technologies Corp      2.250   07/01/30   2,086,411 
 1,300,000     Roper Technologies, Inc      3.800   12/15/26   1,484,697 
 1,000,000     Roper Technologies, Inc      2.950   09/15/29   1,092,074 
 200,000     Trimble, Inc      4.900   06/15/28   229,532 
 199,000     United Technologies Corp      3.650   08/16/23   215,294 
 4,450,000     United Technologies Corp      4.125   11/16/28   5,244,157 
 1,725,000     United Technologies Corp      4.500   06/01/42   2,135,929 
 975,000  g  WESCO Distribution, Inc      7.125   06/15/25   1,028,333 
 725,000  g  WESCO Distribution, Inc      7.250   06/15/28   764,563 
 300,000     Xylem, Inc      2.250   01/30/31   301,807 
       TOTAL CAPITAL GOODS              49,307,500 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 1.0%                
 770,000     ADT Corp      4.125   06/15/23   771,925 
 1,650,000     AECOM      5.875   10/15/24   1,782,000 
 800,000  g  ASGN, Inc      4.625   05/15/28   781,296 
 5,000,000     BayCare Health System, Inc      2.560   11/15/21   5,059,230 
 3,000,000     BayCare Health System, Inc      2.610   11/15/22   3,138,172 
 2,710,874  g  British Airways      3.800   09/20/31   2,575,544 
 250,000  g  GFL Environmental, Inc      4.250   06/01/25   252,187 
 250,000  g  GFL Environmental, Inc      5.125   12/15/26   258,750 
 500,000     IHS Markit Ltd      4.125   08/01/23   546,550 
 1,830,000     IHS Markit Ltd      4.250   05/01/29   2,093,721 
 400,000  g  KAR Auction Services, Inc      5.125   06/01/25   394,000 
 775,000  g  Prime Security Services Borrower LLC      5.250   04/15/24   792,437 
 2,750,000  g  Prime Security Services Borrower LLC      5.750   04/15/26   2,849,688 
236

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$725,000  g  Prime Security Services Borrower LLC      6.250%  01/15/28  $682,878 
 1,000,000     Republic Services, Inc      3.550   06/01/22   1,050,573 
 1,550,000     Republic Services, Inc      2.900   07/01/26   1,693,199 
 200,000  g  Ritchie Bros Auctioneers, Inc      5.375   01/15/25   205,750 
 625,000     RR Donnelley & Sons Co      6.500   11/15/23   570,444 
 3,000,000  g  Stericycle, Inc      5.375   07/15/24   3,075,000 
 925,000     United Rentals North America, Inc      5.500   07/15/25   949,281 
 3,000,000     United Rentals North America, Inc      4.625   10/15/25   3,015,000 
 1,125,000     United Rentals North America, Inc      6.500   12/15/26   1,181,250 
 1,330,000     Verisk Analytics, Inc      4.125   03/15/29   1,553,640 
 325,000     Verisk Analytics, Inc      3.625   05/15/50   368,163 
 4,725,000     Visa, Inc      2.050   04/15/30   4,952,789 
 550,000     Visa, Inc      2.700   04/15/40   589,214 
 1,550,000     Waste Management, Inc      2.900   09/15/22   1,619,939 
 900,000     Waste Management, Inc      2.950   06/15/24   921,360 
 3,550,000     Waste Management, Inc      3.450   06/15/29   3,673,346 
 550,000     Waste Management, Inc      4.100   03/01/45   657,476 
 850,000     Waste Management, Inc      4.150   07/15/49   1,065,343 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES              49,120,145 
                        
CONSUMER DURABLES & APPAREL - 0.1%                
 1,000,000     DR Horton, Inc      5.750   08/15/23   1,130,140 
 325,000  g  Hanesbrands, Inc      4.625   05/15/24   323,375 
 400,000     Leggett & Platt, Inc      4.400   03/15/29   430,298 
 2,250,000     Lennar Corp      4.500   04/30/24   2,339,527 
 1,870,000     Lennar Corp      5.875   11/15/24   2,043,442 
 925,000     Newell Brands, Inc      4.875   06/01/25   968,734 
       TOTAL CONSUMER DURABLES & APPAREL              7,235,516 
                        
CONSUMER SERVICES - 0.8%                
 3,000,000  g  1011778 BC ULC / New Red Finance, Inc      5.750   04/15/25   3,150,000 
 8,000,000     Anheuser-Busch Cos LLC      3.650   02/01/26   8,982,806 
 3,095,000     Anheuser-Busch Cos LLC      4.900   02/01/46   3,785,591 
 1,300,000  g  Boyd Gaming Corp      8.625   06/01/25   1,358,500 
 600,000     Boyd Gaming Corp      6.375   04/01/26   570,000 
 900,000     Boyd Gaming Corp      6.000   08/15/26   837,000 
 1,825,000  g  Cedar Fair LP      5.500   05/01/25   1,834,125 
 1,200,000  g  Cott Holdings, Inc      5.500   04/01/25   1,206,108 
 150,000  g  Hilton Domestic Operating Co, Inc      5.375   05/01/25   149,437 
 150,000  g  Hilton Domestic Operating Co, Inc      5.750   05/01/28   151,500 
 615,000  g  International Game Technology plc      6.250   02/15/22   620,766 
 2,070,000  g  International Game Technology plc      6.500   02/15/25   2,116,596 
 4,550,000  g  Live Nation Entertainment, Inc      6.500   05/15/27   4,686,500 
 400,000  g  MGM China Holdings Ltd      5.250   06/18/25   408,000 
 2,355,000     Nature Conservancy      1.767   02/01/24   2,320,696 
 2,745,000     Northwestern University      3.812   12/01/50   2,926,800 
 800,000  g  Sands China Ltd      3.800   01/08/26   822,008 
 1,400,000     Sands China Ltd      5.400   08/08/28   1,545,292 
 325,000  g  Scientific Games International, Inc      5.000   10/15/25   300,059 
 500,000  g  Wynn Macau Ltd      5.500   01/15/26   493,895 
 100,000  g  Yum! Brands, Inc      7.750   04/01/25   107,875 
       TOTAL CONSUMER SERVICES              38,373,554 
237

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
DIVERSIFIED FINANCIALS - 4.9%                
$2,000,000     AerCap Ireland Capital DAC      4.625%  07/01/22  $2,020,063 
 900,000     AerCap Ireland Capital DAC      3.650   07/21/27   796,232 
 3,200,000     American Express Co      2.500   08/01/22   3,320,459 
 2,312,000     American Express Co      3.700   08/03/23   2,516,011 
 975,000     Ameriprise Financial, Inc      3.000   03/22/22   1,014,614 
 1,500,000     Australia & New Zealand Banking Group Ltd      2.625   05/19/22   1,562,916 
 2,000,000  g  Banco BTG Pactual S.A.      4.500   01/10/25   1,959,400 
 1,380,000  g  Banco Mercantil del Norte S.A.      6.750   N/A‡   1,304,873 
 1,275,000  i  Bank of Montreal  USD SWAP SEMI 30/360 5 Y + 1.432%   3.803   12/15/32   1,372,295 
 2,850,000  g,i  BBVA Bancomer S.A.  DGS5 + 2.650%   5.125   01/18/33   2,652,466 
 1,200,000     Berkshire Hathaway, Inc      3.125   03/15/26   1,344,316 
 3,300,000  g  BNP Paribas S.A.      2.819   11/19/25   3,456,049 
 100,000  g  BNP Paribas S.A.      4.375   05/12/26   110,278 
 1,050,000  g  BNP Paribas S.A.      2.219   06/09/26   1,072,724 
 2,200,000  g  BNP Paribas S.A.      3.052   01/13/31   2,314,276 
 925,000  g  BNP Paribas S.A.      6.625   N/A‡   943,500 
 2,825,000     Capital One Bank USA NA      3.375   02/15/23   2,974,494 
 1,055,000     Capital One Financial Corp      3.750   03/09/27   1,164,884 
 6,675,000     Charles Schwab Corp      5.375   N/A‡   7,131,036 
 2,850,000  g  Comcel Trust      6.875   02/06/24   2,914,609 
 2,500,000  g  Credit Suisse Group AG.      2.997   12/14/23   2,602,209 
 475,000  g  Credit Suisse Group AG.      2.193   06/05/26   480,936 
 775,000  g  Credit Suisse Group AG.      4.282   01/09/28   867,864 
 4,000,000  g  Credit Suisse Group AG.      6.375   N/A‡   4,062,000 
 4,075,000     Credit Suisse Group Funding Guernsey Ltd      3.800   06/09/23   4,387,960 
 2,325,000     Credit Suisse Group Funding Guernsey Ltd      3.750   03/26/25   2,562,550 
 8,400,000     Discover Financial Services      6.125   N/A‡   8,615,880 
 1,000,000     Ford Motor Credit Co LLC      5.750   02/01/21   1,004,680 
 6,100,000     Ford Motor Credit Co LLC      3.336   03/18/21   6,037,231 
 1,775,000     Ford Motor Credit Co LLC      3.096   05/04/23   1,682,167 
 1,140,000     Ford Motor Credit Co LLC      5.584   03/18/24   1,151,058 
 10,000,000     GE Capital International Funding Co      2.342   11/15/20   10,064,769 
 1,775,000     GE Capital International Funding Co      3.373   11/15/25   1,862,457 
 9,725,000     GE Capital International Funding Co      4.418   11/15/35   9,873,269 
 2,000,000     General Motors Financial Co, Inc      2.750   06/20/25   1,970,934 
 1,800,000     General Motors Financial Co, Inc      5.650   01/17/29   2,005,192 
 7,600,000     Goldman Sachs Group, Inc      2.625   04/25/21   7,721,074 
 660,000     Goldman Sachs Group, Inc      5.250   07/27/21   692,979 
 2,230,000     Goldman Sachs Group, Inc      5.750   01/24/22   2,405,885 
 1,250,000     Goldman Sachs Group, Inc      4.000   03/03/24   1,381,254 
 1,050,000     Goldman Sachs Group, Inc      3.500   01/23/25   1,143,089 
 8,625,000     Goldman Sachs Group, Inc      3.691   06/05/28   9,660,112 
 4,150,000     Goldman Sachs Group, Inc      2.600   02/07/30   4,332,405 
 1,300,000     Goldman Sachs Group, Inc      4.017   10/31/38   1,518,770 
 1,425,000     Goldman Sachs Group, Inc      4.800   07/08/44   1,857,657 
 5,000,000     Goldman Sachs Group, Inc      4.950   N/A‡   4,750,000 
 8,050,000     Goldman Sachs Group, Inc      5.500   N/A‡   8,342,779 
 2,500,000  g  Grupo Aval Ltd      4.375   02/04/30   2,387,500 
 2,000,000  g  High Street Funding Trust I      4.111   02/15/28   2,203,782 
 925,000     Icahn Enterprises LP      5.250   05/15/27   892,625 
 2,000,000     ICICI Bank Ltd      3.125   08/12/20   2,001,368 
 3,400,000  g,i  ING Groep NV  DGS1 + 1.100%   1.400   07/01/26   3,407,935 
238

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$2,000,000     International Lease Finance Corp      5.875%  08/15/22  $2,104,157 
 425,000     Legg Mason, Inc      3.950   07/15/24   457,331 
 850,000  g  Lions Gate Capital Holdings LLC      5.875   11/01/24   811,750 
 1,550,000     Morgan Stanley      5.500   07/28/21   1,632,197 
 6,550,000     Morgan Stanley      3.125   01/23/23   6,945,000 
 8,995,000     Morgan Stanley      2.720   07/22/25   9,551,028 
 1,600,000     Morgan Stanley      2.188   04/28/26   1,664,017 
 7,925,000     Morgan Stanley      3.125   07/27/26   8,743,110 
 2,000,000     Morgan Stanley      3.625   01/20/27   2,257,701 
 1,480,000     Morgan Stanley      3.950   04/23/27   1,665,803 
 1,850,000     Morgan Stanley      2.699   01/22/31   1,964,955 
 2,375,000  g  Power Finance Corp Ltd      3.950   04/23/30   2,245,143 
 1,715,000  g  Quicken Loans, Inc      5.250   01/15/28   1,783,600 
 1,000,000  g  REC Ltd      4.750   05/19/23   1,025,899 
 5,000,000  g,i  Sanders Re Ltd  LIBOR 6 M + 2.930%   2.975   12/06/21   4,752,500 
 5,775,000     Shire Acquisitions Investments Ireland DAC      3.200   09/23/26   6,405,667 
 1,500,000  g  Sierra Ltd      3.379   12/28/22   1,491,750 
 600,000     Springleaf Finance Corp      6.125   03/15/24   609,750 
 1,800,000     Springleaf Finance Corp      8.875   06/01/25   1,924,542 
 1,350,000     Springleaf Finance Corp      5.375   11/15/29   1,269,000 
 700,000  g,i  Swiss Re Finance Luxembourg SA  DGS5 + 3.582%   5.000   04/02/49   782,680 
 55,000     Synchrony Financial      2.850   07/25/22   55,942 
 3,000,000     Synchrony Financial      4.250   08/15/24   3,155,055 
 3,300,000     Toronto-Dominion Bank      1.150   06/12/25   3,340,198 
 850,000  g  UBS AG.      2.450   12/01/20   855,442 
 1,875,000  g  UBS Group AG.      2.859   08/15/23   1,942,128 
 1,775,000  g  UBS Group AG.      3.126   08/13/30   1,917,182 
 1,355,000     Wells Fargo & Co      4.600   04/01/21   1,396,923 
 2,075,000     Wells Fargo & Co      3.750   01/24/24   2,267,245 
 1,050,000     Wells Fargo & Co      3.550   09/29/25   1,172,571 
 1,100,000     Wells Fargo & Co      3.000   10/23/26   1,199,712 
 5,825,000     Wells Fargo & Co      2.393   06/02/28   6,017,384 
 3,600,000     Wells Fargo & Co      2.879   10/30/30   3,847,263 
 1,500,000     Wells Fargo & Co      5.875   N/A‡   1,559,055 
       TOTAL DIVERSIFIED FINANCIALS              244,689,545 
                        
ENERGY - 3.4%                
 1,450,000  g  Abu Dhabi Crude Oil Pipeline LLC      4.600   11/02/47   1,718,639 
 400,000     AmeriGas Partners LP      5.875   08/20/26   422,000 
 3,950,000  g  Archrock Partners LP      6.875   04/01/27   3,720,900 
 1,185,000     Baker Hughes a GE Co LLC      2.773   12/15/22   1,236,580 
 850,000     BP Capital Markets plc      2.520   09/19/22   880,997 
 3,300,000     Chevron Corp      1.554   05/11/25   3,389,831 
 1,475,000     Chevron Corp      2.236   05/11/30   1,544,005 
 1,538,000    Cloud Peak Energy Resources LLC      12.000   11/01/21   0 
 199,286     Cloud Peak Energy, Inc      9.000   10/24/24   99,643 
 351,682  o  Cloud Peak Energy, Inc      12.000   05/01/25   175,841 
 45,000     ConocoPhillips Co      6.500   02/01/39   65,522 
 2,325,000     Crestwood Midstream Partners LP      5.750   04/01/25   2,008,265 
 2,500,000  g  Denbury Resources, Inc      7.750   02/15/24   950,000 
 2,975,000     Diamondback Energy, Inc      2.875   12/01/24   2,979,915 
 2,125,000     Diamondback Energy, Inc      3.250   12/01/26   2,136,558 
 3,000,000     Diamondback Energy, Inc      3.500   12/01/29   2,898,205 
 2,300,000     Ecopetrol S.A.      6.875   04/29/30   2,647,300 
239

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$1,475,000     Ecopetrol S.A.      5.875%  05/28/45  $1,543,661 
 2,450,000     Enbridge, Inc      3.125   11/15/29   2,567,378 
 6,420,000     Energy Transfer Operating LP      3.600   02/01/23   6,641,671 
 5,930,000     Energy Transfer Operating LP      4.200   09/15/23   6,300,640 
 1,375,000     Energy Transfer Operating LP      2.900   05/15/25   1,407,962 
 1,675,000     Energy Transfer Operating LP      4.750   01/15/26   1,829,304 
 2,000,000     Energy Transfer Operating LP      4.950   06/15/28   2,147,393 
 575,000     Energy Transfer Operating LP      5.250   04/15/29   627,482 
 3,075,000     Energy Transfer Operating LP      3.750   05/15/30   3,038,543 
 2,100,000     Energy Transfer Operating LP      6.250   04/15/49   2,225,513 
 3,300,000     Energy Transfer Operating LP      5.000   05/15/50   3,117,891 
 1,105,000     Enterprise Products Operating LLC      2.800   02/15/21   1,120,279 
 1,025,000     Enterprise Products Operating LLC      3.700   02/15/26   1,151,897 
 1,550,000     Enterprise Products Operating LLC      3.125   07/31/29   1,658,756 
 200,000     Enterprise Products Operating LLC      2.800   01/31/30   209,707 
 750,000     Enterprise Products Operating LLC      4.900   05/15/46   868,411 
 1,025,000     Enterprise Products Operating LLC      4.250   02/15/48   1,114,916 
 1,600,000     Enterprise Products Operating LLC      4.800   02/01/49   1,894,153 
 1,105,000     Enterprise Products Operating LLC      4.200   01/31/50   1,222,628 
 3,125,000     Enterprise Products Operating LLC      3.700   01/31/51   3,248,910 
 1,525,000     Enterprise Products Operating LLC      3.950   01/31/60   1,576,749 
 1,225,000  g  EQM Midstream Partners LP      6.000   07/01/25   1,237,250 
 675,000     Genesis Energy LP      6.500   10/01/25   577,125 
 3,750,000     Genesis Energy LP      6.250   05/15/26   3,217,050 
 2,000,000  g  Geopark Ltd      5.500   01/17/27   1,720,020 
 1,700,000  g  KazMunayGas National Co JSC      5.375   04/24/30   1,921,138 
 940,000     Kinder Morgan Energy Partners LP      5.400   09/01/44   1,105,727 
 1,000,000     Kinder Morgan, Inc      3.450   02/15/23   1,048,070 
 400,000     Kinder Morgan, Inc      5.300   12/01/34   465,200 
 2,150,000     Magellan Midstream Partners LP      3.250   06/01/30   2,277,403 
 1,050,000     Marathon Oil Corp      4.400   07/15/27   1,030,461 
 2,200,000     Marathon Petroleum Corp      3.800   04/01/28   2,331,801 
 700,000     Marathon Petroleum Corp      4.750   09/15/44   730,845 
 225,000     MPLX LP      6.375   05/01/24   232,318 
 550,000     MPLX LP      5.250   01/15/25   571,906 
 1,475,000     MPLX LP      4.875   06/01/25   1,645,695 
 2,900,000     MPLX LP      4.000   03/15/28   3,055,423 
 3,125,000     MPLX LP      4.500   04/15/38   3,123,928 
 1,550,000     MPLX LP      4.700   04/15/48   1,589,069 
 1,617,000     Murphy Oil Corp      5.875   12/01/27   1,422,960 
 450,000     Murphy Oil USA, Inc      5.625   05/01/27   464,625 
 300,000     Noble Energy, Inc      3.900   11/15/24   302,217 
 400,000     Noble Energy, Inc      3.850   01/15/28   386,390 
 975,000     Noble Energy, Inc      5.050   11/15/44   885,982 
 800,000     Occidental Petroleum Corp      5.550   03/15/26   730,168 
 2,375,000     Occidental Petroleum Corp      3.500   08/15/29   1,743,962 
 1,200,000     Occidental Petroleum Corp      4.300   08/15/39   827,652 
 475,000     Occidental Petroleum Corp      4.100   02/15/47   320,031 
 2,500,000     ONEOK, Inc      4.000   07/13/27   2,537,072 
 2,900,000     ONEOK, Inc      4.550   07/15/28   3,039,959 
 3,050,000     ONEOK, Inc      4.350   03/15/29   3,207,996 
 3,115,000     ONEOK, Inc      3.400   09/01/29   3,029,265 
 1,650,000     ONEOK, Inc      3.100   03/15/30   1,578,273 
 1,650,000     ONEOK, Inc      4.500   03/15/50   1,535,410 
240

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$850,000  g  Pertamina Persero PT      3.650%  07/30/29  $883,891 
 1,200,000  g  Peru LNG Srl      5.375   03/22/30   943,500 
 800,000  g  Petrobras Global Finance BV      5.093   01/15/30   796,800 
 1,500,000     Petrobras Global Finance BV      5.600   01/03/31   1,506,750 
 2,000,000     Petrobras Global Finance BV      6.900   03/19/49   2,105,000 
 2,800,000     Petroleos Mexicanos      6.500   03/13/27   2,527,056 
 1,250,000     Petroleos Mexicanos      5.350   02/12/28   1,050,000 
 1,992,000  g  Petroleos Mexicanos      6.840   01/23/30   1,746,785 
 2,700,000  g  Petroleos Mexicanos      5.950   01/28/31   2,227,905 
 1,275,000  g  Petronas Capital Ltd      3.500   04/21/30   1,413,757 
 625,000     Phillips 66 Partners LP      3.150   12/15/29   639,739 
 1,025,000     Phillips 66 Partners LP      4.680   02/15/45   1,100,943 
 475,000     Regency Energy Partners LP      4.500   11/01/23   510,018 
 705,000     Sabine Pass Liquefaction LLC      5.875   06/30/26   828,375 
 1,950,000     Sabine Pass Liquefaction LLC      4.200   03/15/28   2,091,318 
 1,300,000     Shell International Finance BV      2.875   05/10/26   1,423,625 
 1,350,000     Shell International Finance BV      3.125   11/07/49   1,418,721 
 1,400,000     SM Energy Co      6.125   11/15/22   1,022,000 
 1,275,000     SM Energy Co      6.625   01/15/27   624,750 
 1,790,000  g  Stena AB      7.000   02/01/24   1,682,600 
 2,000,000     Suburban Propane Partners LP      5.500   06/01/24   1,980,000 
 705,000     Suncor Energy, Inc      6.800   05/15/38   912,719 
 1,400,000     Sunoco Logistics Partners Operations LP      4.000   10/01/27   1,434,270 
 600,000     Sunoco Logistics Partners Operations LP      5.400   10/01/47   590,212 
 250,000     Sunoco LP      4.875   01/15/23   246,250 
 1,500,000     Targa Resources Partners LP      5.875   04/15/26   1,485,000 
 525,000     Targa Resources Partners LP      6.500   07/15/27   526,313 
 3,000,000  g  Thaioil Treasury Center Co Ltd      2.500   06/18/30   2,993,134 
 3,300,000     Total Capital International S.A.      3.127   05/29/50   3,368,472 
 5,200,000     TransCanada PipeLines Ltd      4.250   05/15/28   5,981,678 
 730,625  g  Transocean Guardian Ltd      5.875   01/15/24   635,454 
 1,600,000     USA Compression Partners LP      6.875   04/01/26   1,546,000 
 1,075,000     USA Compression Partners LP      6.875   09/01/27   1,021,035 
 2,100,000  g  YPF S.A.      6.950   07/21/27   1,480,521 
       TOTAL ENERGY              173,025,027 
                        
FOOD & STAPLES RETAILING - 0.5%                
 1,575,000     Costco Wholesale Corp      1.375   06/20/27   1,608,088 
 2,350,000     Costco Wholesale Corp      1.600   04/20/30   2,374,207 
 750,000     Costco Wholesale Corp      1.750   04/20/32   761,385 
 1,869,000     Ingles Markets, Inc      5.750   06/15/23   1,878,345 
 1,150,000     Kroger Co      3.700   08/01/27   1,313,221 
 1,800,000     Kroger Co      3.875   10/15/46   2,015,734 
 325,000     Kroger Co      4.450   02/01/47   393,639 
 675,000     SYSCO Corp      3.300   07/15/26   722,901 
 5,700,000     Walmart, Inc      3.700   06/26/28   6,753,352 
 2,350,000     Walmart, Inc      3.250   07/08/29   2,730,171 
 4,075,000     Walmart, Inc      2.375   09/24/29   4,445,937 
 1,550,000     Walmart, Inc      3.950   06/28/38   1,972,198 
       TOTAL FOOD & STAPLES RETAILING              26,969,178 
                        
FOOD, BEVERAGE & TOBACCO - 1.2%                
 1,725,000     Altria Group, Inc      4.800   02/14/29   2,010,829 
 1,000,000     Altria Group, Inc      3.400   05/06/30   1,075,696 
241

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$1,400,000     Altria Group, Inc      5.950%  02/14/49  $1,835,555 
 848,000     Anheuser-Busch InBev Finance, Inc      3.300   02/01/23   896,866 
 5,580,000     Anheuser-Busch InBev Worldwide, Inc      4.750   01/23/29   6,740,919 
 2,160,000     Anheuser-Busch InBev Worldwide, Inc      4.439   10/06/48   2,487,363 
 3,250,000     BAT Capital Corp      4.906   04/02/30   3,816,331 
 1,975,000  g  BRF S.A.      4.875   01/24/30   1,861,438 
 825,000     Coca-Cola Co      1.450   06/01/27   847,292 
 2,000,000     Coca-Cola Co      4.200   03/25/50   2,625,464 
 450,000     Constellation Brands, Inc      4.400   11/15/25   520,136 
 450,000     Constellation Brands, Inc      3.700   12/06/26   502,143 
 325,000     Constellation Brands, Inc      3.600   02/15/28   360,035 
 1,625,000     Constellation Brands, Inc      3.150   08/01/29   1,742,064 
 350,000     Constellation Brands, Inc      2.875   05/01/30   370,760 
 1,800,000  g  Corp Lindley S.A.      4.625   04/12/23   1,854,018 
 3,125,000  g  Cosan Ltd      5.500   09/20/29   2,960,938 
 1,650,000     Diageo Capital plc      2.125   10/24/24   1,735,189 
 2,425,000     Diageo Capital plc      2.375   10/24/29   2,588,245 
 1,150,000     Diageo Capital plc      2.000   04/29/30   1,189,872 
 1,675,000  g  Embotelladora Andina S.A.      3.950   01/21/50   1,675,838 
 925,000     General Mills, Inc      2.875   04/15/30   1,005,637 
 2,000,000  g  Grupo Bimbo SAB de C.V.      4.700   11/10/47   2,207,020 
 1,800,000  g,i  Grupo Bimbo SAB de C.V.  DGS5 + 3.280%   5.950   N/A‡   1,856,250 
 475,000     JM Smucker Co      2.375   03/15/30   484,863 
 1,325,000     JM Smucker Co      3.550   03/15/50   1,366,483 
 1,000,000     Kellogg Co      3.400   11/15/27   1,122,555 
 1,450,000  g  Kernel Holding S.A.      6.500   10/17/24   1,435,448 
 1,150,000  g  Kraft Heinz Foods Co      3.875   05/15/27   1,201,538 
 875,000  g  Kraft Heinz Foods Co      4.250   03/01/31   927,532 
 975,000  g  Lamb Weston Holdings, Inc      4.875   11/01/26   1,009,125 
 775,000     PepsiCo, Inc      3.450   10/06/46   894,684 
 4,000,000     PepsiCo, Inc      3.625   03/19/50   4,864,339 
 1,900,000     Philip Morris International, Inc      2.100   05/01/30   1,957,248 
 100,000     Philip Morris International, Inc      6.375   05/16/38   150,657 
 650,000     Tyson Foods, Inc      3.900   09/28/23   709,531 
 1,075,000     Tyson Foods, Inc      3.950   08/15/24   1,190,313 
 1,425,000     Tyson Foods, Inc      5.100   09/28/48   1,852,405 
       TOTAL FOOD, BEVERAGE & TOBACCO              63,932,619 
                        
HEALTH CARE EQUIPMENT & SERVICES - 1.8%                
 3,500,000     Anthem, Inc      3.650   12/01/27   3,987,749 
 3,016,000     Becton Dickinson & Co      3.700   06/06/27   3,374,296 
 1,200,000     Boston Scientific Corp      4.000   03/01/29   1,372,790 
 800,000  g  Centene Corp      5.375   08/15/26   832,168 
 1,150,000     Centene Corp      4.625   12/15/29   1,217,586 
 1,000,000     Centene Corp      3.375   02/15/30   1,009,710 
 755,000  g  Centene Escrow I Corp      5.375   06/01/26   782,678 
 2,750,000  g  CHS/Community Health Systems      8.000   03/15/26   2,599,300 
 1,600,000     Cigna Corp      2.400   03/15/30   1,659,983 
 1,525,000     Cigna Corp      3.200   03/15/40   1,614,908 
 375,000     Covidien International Finance S.A.      3.200   06/15/22   393,313 
 1,775,000     CVS Health Corp      2.625   08/15/24   1,895,262 
 4,350,000     CVS Health Corp      2.875   06/01/26   4,709,877 
 5,270,000     CVS Health Corp      4.300   03/25/28   6,161,115 
 3,800,000     CVS Health Corp      3.750   04/01/30   4,369,584 
242

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$5,175,000     CVS Health Corp      4.780%  03/25/38  $6,428,570 
 2,425,000     CVS Health Corp      5.050   03/25/48   3,154,363 
 1,125,000     CVS Health Corp      4.250   04/01/50   1,353,182 
 5,000,000     DaVita, Inc      5.000   05/01/25   5,112,500 
 3,100,000  g  DaVita, Inc      4.625   06/01/30   3,082,950 
 540,000     Encompass Health Corp      5.750   11/01/24   540,000 
 5,400,000     Encompass Health Corp      4.500   02/01/28   5,179,248 
 4,000,000     HCA, Inc      3.500   09/01/30   3,851,755 
 1,320,000     HCA, Inc      5.500   06/15/47   1,606,907 
 1,800,000     Humana, Inc      3.950   03/15/27   2,041,924 
 1,250,000  g  Molina Healthcare, Inc      4.375   06/15/28   1,253,125 
 50,000     Quest Diagnostics, Inc      4.250   04/01/24   55,496 
 1,510,000  g  SBA Tower Trust      3.168   04/11/22   1,525,242 
 5,800,000  g  SBA Tower Trust      2.836   01/15/25   5,979,877 
 350,000  g  Teleflex, Inc      4.250   06/01/28   358,750 
 4,200,000     Tenet Healthcare Corp      4.625   07/15/24   4,115,706 
 375,000  g  Tenet Healthcare Corp      4.625   06/15/28   367,380 
 875,000     Thermo Fisher Scientific, Inc      4.133   03/25/25   999,399 
 1,035,000     Thermo Fisher Scientific, Inc      2.950   09/19/26   1,144,812 
 2,650,000     UnitedHealth Group, Inc      2.950   10/15/27   2,957,255 
 70,000     UnitedHealth Group, Inc      4.750   07/15/45   94,247 
 1,400,000     UnitedHealth Group, Inc      3.750   10/15/47   1,669,907 
 2,000,000     UnitedHealth Group, Inc      3.700   08/15/49   2,365,080 
 550,000     Zimmer Biomet Holdings, Inc      3.700   03/19/23   585,009 
 1,290,000     Zimmer Biomet Holdings, Inc      3.550   04/01/25   1,402,534 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES           93,205,537 
                        
HOUSEHOLD & PERSONAL PRODUCTS - 0.1%                
 2,000,000     Procter & Gamble Co      3.600   03/25/50   2,489,777 
       TOTAL HOUSEHOLD & PERSONAL PRODUCTS           2,489,777 
                        
INSURANCE - 1.2%                
 150,000     Aetna, Inc      6.625   06/15/36   213,273 
 53,000     Aflac, Inc      6.450   08/15/40   74,471 
 1,500,000     Allstate Corp      3.850   08/10/49   1,796,812 
 550,000     American Financial Group, Inc      3.500   08/15/26   586,202 
 2,775,000     American International Group, Inc      3.900   04/01/26   3,134,354 
 1,150,000     American International Group, Inc      4.200   04/01/28   1,308,409 
 1,325,000     Aon Corp      3.750   05/02/29   1,517,457 
 3,275,000     Aon plc      3.500   06/14/24   3,568,103 
 675,000     Berkshire Hathaway Finance Corp      1.850   03/12/30   693,847 
 400,000     Berkshire Hathaway Finance Corp      4.250   01/15/49   512,453 
 3,600,000     Chubb INA Holdings, Inc      2.875   11/03/22   3,784,261 
 700,000     CNA Financial Corp      3.950   05/15/24   760,990 
 1,665,000     CNA Financial Corp      3.450   08/15/27   1,775,726 
 200,000     CNA Financial Corp      3.900   05/01/29   220,342 
 3,770,000  g,i  Cranberry RE Ltd  LIBOR 6 M + 1.980%   2.012   07/13/20   3,768,115 
 550,000  g,h  Equitable Financial Life Global Funding      1.400   07/07/25   551,118 
 3,025,000  g  Five Corners Funding Trust      4.419   11/15/23   3,368,757 
 2,200,000  g  Five Corners Funding Trust II      2.850   05/15/30   2,268,550 
 585,000     Genworth Holdings, Inc      4.800   02/15/24   466,537 
 1,650,000     Hartford Financial Services Group, Inc      2.800   08/19/29   1,746,659 
 250,000     Hartford Financial Services Group, Inc      4.300   04/15/43   287,487 
 1,000,000     Hartford Financial Services Group, Inc      3.600   08/19/49   1,053,935 
243

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$144,000  g  Liberty Mutual Group, Inc      4.250%  06/15/23  $156,299 
 1,521,000  g  Liberty Mutual Group, Inc      4.569   02/01/29   1,781,228 
 1,750,000  g  Liberty Mutual Group, Inc      3.951   10/15/50   1,848,349 
 475,000     Marsh & McLennan Cos, Inc      3.500   06/03/24   519,223 
 375,000     Marsh & McLennan Cos, Inc      3.500   03/10/25   414,967 
 875,000     MetLife, Inc      3.600   11/13/25   994,489 
 900,000  g  Metropolitan Life Global Funding I      2.950   04/09/30   986,052 
 500,000     Orlando Health Obligated Group      2.981   10/01/20   502,404 
 500,000     Principal Financial Group, Inc      2.125   06/15/30   500,709 
 500,000     Prudential Financial, Inc      3.905   12/07/47   568,192 
 300,000  g  Prudential Funding LLC      6.750   09/15/23   349,588 
 1,050,000     Reinsurance Group of America, Inc      3.900   05/15/29   1,143,914 
 2,250,000  g  Residential Reinsurance 2017 Ltd      3.399   06/06/21   2,202,075 
 8,500,000  g,i  Sutter Re Ltd      5.129   06/06/22   8,545,050 
 400,000     Travelers Cos, Inc      2.550   04/27/50   395,222 
 2,200,000  g,i  Vitality Re X Ltd      1.879   01/10/23   2,090,000 
 350,000     Voya Financial, Inc      5.700   07/15/43   454,544 
 925,000     Voya Financial, Inc      6.125   N/A‡   904,724 
 850,000     Willis North America, Inc      3.600   05/15/24   919,944 
 150,000     WR Berkley Corp      5.375   09/15/20   151,277 
 1,515,000     XLIT Ltd      4.450   03/31/25   1,706,611 
       TOTAL INSURANCE              60,592,719 
                        
MATERIALS - 1.7%                
 1,400,000     Agrium, Inc      3.375   03/15/25   1,425,267 
 550,000     Air Products and Chemicals, Inc      1.500   10/15/25   568,751 
 600,000     Air Products and Chemicals, Inc      2.050   05/15/30   630,482 
 200,000  g  Alcoa Nederland Holding BV      6.750   09/30/24   204,250 
 200,000  g  Alcoa Nederland Holding BV      7.000   09/30/26   205,000 
 2,600,000  g  Arconic Corp      6.000   05/15/25   2,674,750 
 175,000  g  Arconic Rolled Products Corp      6.125   02/15/28   174,956 
 270,000     Bemis Co, Inc      3.100   09/15/26   285,059 
 325,000     Bemis Co, Inc      2.630   06/19/30   333,136 
 1,000,000  g  Berry Global, Inc      5.625   07/15/27   1,027,500 
 2,500,000  g  Celulosa Arauco y Constitucion S.A.      4.250   04/30/29   2,568,775 
 1,250,000  g  Celulosa Arauco y Constitucion S.A.      4.200   01/29/30   1,273,437 
 1,375,000  g  Cemex SAB de C.V.      7.375   06/05/27   1,397,000 
 2,500,000  g  Cemex SAB de C.V.      5.450   11/19/29   2,309,250 
 2,175,000  g  Cleveland-Cliffs, Inc      9.875   10/17/25   2,281,466 
 2,900,000  g  Corp Nacional del Cobre de Chile-CODELCO      3.625   08/01/27   3,111,526 
 2,000,000  g  Corp Nacional del Cobre de Chile-CODELCO      3.150   01/14/30   2,079,080 
 2,000,000  g  Corp Nacional del Cobre de Chile-CODELCO      3.700   01/30/50   2,039,880 
 5,805,000     DowDuPont, Inc      4.493   11/15/25   6,682,743 
 2,310,000     DowDuPont, Inc      4.725   11/15/28   2,777,428 
 950,000  g  Enviva Partners LP      6.500   01/15/26   988,000 
 750,000     International Paper Co      5.000   09/15/35   915,304 
 50,000     International Paper Co      8.700   06/15/38   76,634 
 1,500,000     International Paper Co      5.150   05/15/46   1,881,396 
 450,000     International Paper Co      4.350   08/15/48   530,744 
 2,875,000  g  Inversiones CMPC S.A.      4.375   04/04/27   3,069,063 
 1,175,000  g  Inversiones CMPC S.A.      3.850   01/13/30   1,199,088 
 630,000  g  James Hardie International Finance DAC      4.750   01/15/25   641,025 
 1,650,000     LyondellBasell Industries NV      6.000   11/15/21   1,741,973 
244

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$1,400,000  g  Midwest Connector Capital Co LLC      3.900%  04/01/24  $1,471,006 
 1,400,000  g  Midwest Connector Capital Co LLC      4.625   04/01/29   1,508,811 
 467,000     Mosaic Co      4.875   11/15/41   458,951 
 1,200,000     Newmont Corp      2.250   10/01/30   1,215,845 
 3,000,000  g  Nova Chemicals Corp      4.875   06/01/24   2,797,500 
 1,125,000     Nutrien Ltd      3.375   03/15/25   1,226,312 
 2,500,000     Nutrien Ltd      2.950   05/13/30   2,649,134 
 2,500,000  g  OCI NV      6.625   04/15/23   2,512,500 
 1,700,000  g  OCP S.A.      6.875   04/25/44   2,063,117 
 2,400,000  g  Owens-Brockway Glass Container, Inc      5.875   08/15/23   2,478,000 
 2,900,000  g  PolyOne Corp      5.750   05/15/25   2,983,375 
 2,450,000  g  SABIC Capital II BV      4.500   10/10/28   2,767,764 
 2,450,000     Sherwin-Williams Co      2.300   05/15/30   2,497,998 
 1,500,000  g  Sociedad Quimica y Minera de Chile S.A.      4.250   05/07/29   1,627,500 
 2,200,000  g  Standard Industries, Inc      5.000   02/15/27   2,227,500 
 1,000,000     Suzano Austria GmbH      6.000   01/15/29   1,078,760 
 1,325,000  g  Suzano Austria GmbH      7.000   03/16/47   1,455,857 
 1,000,000  g  Tronox Finance plc      5.750   10/01/25   925,000 
 1,085,000  g  Tronox, Inc      6.500   04/15/26   1,014,475 
 400,000  g  Univar Solutions USA, Inc      5.125   12/01/27   404,648 
 900,000     Vulcan Materials Co      3.500   06/01/30   977,330 
 820,000     WestRock RKT LLC      4.900   03/01/22   872,568 
 1,100,000     WRKCo, Inc      4.900   03/15/29   1,312,642 
       TOTAL MATERIALS              83,619,556 
                        
MEDIA & ENTERTAINMENT - 2.7%                
 1,175,000  g  Cable Onda S.A.      4.500   01/30/30   1,190,122 
 875,000  g  CBS Radio, Inc      7.250   11/01/24   761,250 
 3,000,000  g  CCO Holdings LLC      5.875   04/01/24   3,093,750 
 1,800,000  g  CCO Holdings LLC      4.500   08/15/30   1,836,900 
 3,227,000     Charter Communications Operating LLC      4.464   07/23/22   3,440,557 
 1,700,000     Charter Communications Operating LLC      3.750   02/15/28   1,852,846 
 1,750,000     Charter Communications Operating LLC      4.200   03/15/28   1,961,768 
 1,465,000     Charter Communications Operating LLC      5.125   07/01/49   1,691,300 
 8,150,000     Charter Communications Operating LLC      4.800   03/01/50   9,237,252 
 1,800,000     Comcast Corp      3.700   04/15/24   1,997,506 
 2,900,000     Comcast Corp      3.950   10/15/25   3,323,249 
 4,750,000     Comcast Corp      2.350   01/15/27   5,075,319 
 1,400,000     Comcast Corp      3.150   02/15/28   1,563,090 
 5,000,000     Comcast Corp      4.150   10/15/28   6,015,217 
 4,025,000     Comcast Corp      2.650   02/01/30   4,376,378 
 2,150,000     Comcast Corp      1.950   01/15/31   2,189,709 
 2,975,000     Comcast Corp      3.200   07/15/36   3,306,871 
 1,000,000     Comcast Corp      3.900   03/01/38   1,187,055 
 755,000     Comcast Corp      6.400   05/15/38   1,125,631 
 8,550,000     Comcast Corp      3.450   02/01/50   9,690,847 
 3,425,000     Comcast Corp      2.800   01/15/51   3,500,414 
 1,000,000     CSC Holdings LLC      6.750   11/15/21   1,049,710 
 1,800,000  g  CSC Holdings LLC      5.750   01/15/30   1,880,082 
 446,000     Discovery Communications LLC      2.950   03/20/23   468,561 
 2,000,000     Discovery Communications LLC      4.125   05/15/29   2,283,079 
245

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$2,000,000     Discovery Communications LLC      5.200%  09/20/47  $2,325,991 
 2,150,000  g  Entercom Media Corp      6.500   05/01/27   1,929,625 
 325,000  g  EW Scripps Co      5.125   05/15/25   309,631 
 2,400,000  g  Gray Escrow, Inc      7.000   05/15/27   2,460,000 
 1,400,000  g  Gray Television, Inc      5.875   07/15/26   1,394,750 
 2,785,000     Grupo Televisa SAB      6.625   01/15/40   3,603,149 
 1,000,000     Lamar Media Corp      5.000   05/01/23   1,005,000 
 1,275,000  g  Lamar Media Corp      3.750   02/15/28   1,202,070 
 3,000,000  g  Lamar Media Corp      4.875   01/15/29   3,015,000 
 2,400,000  g  LUKOIL Securities BV      3.875   05/06/30   2,498,263 
 1,175,000  g  Match Group, Inc      4.625   06/01/28   1,188,101 
 1,000,000  g  Medco Bell Pte Ltd      6.375   01/30/27   850,645 
 2,000,000  g  Medco Oak Tree Pte Ltd      7.375   05/14/26   1,853,381 
 1,750,000  g  MEGlobal Canada ULC      5.000   05/18/25   1,883,350 
 540,000     NBC Universal Media LLC      6.400   04/30/40   815,690 
 925,000  g  Nielsen Finance LLC      5.000   04/15/22   922,410 
 2,700,000  g  Sirius XM Radio, Inc      5.375   07/15/26   2,788,398 
 2,725,000  g  Sirius XM Radio, Inc      4.125   07/01/30   2,688,104 
 750,000     Smithsonian Institution      0.845   09/01/21   750,440 
 825,000     Smithsonian Institution      0.895   09/01/22   825,896 
 800,000     Smithsonian Institution      0.974   09/01/23   798,766 
 1,000,000     Smithsonian Institution      1.118   09/01/24   999,750 
 1,600,000     Smithsonian Institution      1.514   09/01/26   1,606,774 
 2,075,000  g  TEGNA, Inc      4.625   03/15/28   1,909,000 
 1,075,000  g  Telefonica Celular del Paraguay S.A.      5.875   04/15/27   1,118,000 
 800,000  g  Telenet Finance Luxembourg      5.500   03/01/28   832,026 
 1,740,000  g  Terrier Media Buyer, Inc      8.875   12/15/27   1,668,225 
 1,500,000     Time Warner Cable LLC      5.875   11/15/40   1,847,399 
 475,000     Time Warner Cable LLC      4.500   09/15/42   510,141 
 1,250,000  g  Upjohn, Inc      2.700   06/22/30   1,284,265 
 725,000  g  Upjohn, Inc      3.850   06/22/40   777,548 
 850,000     ViacomCBS, Inc      2.900   01/15/27   892,131 
 525,000     ViacomCBS, Inc      3.375   02/15/28   557,807 
 600,000     ViacomCBS, Inc      5.850   09/01/43   709,349 
 1,500,000     Walt Disney Co      3.700   03/23/27   1,720,135 
 125,000     Walt Disney Co      7.625   11/30/28   178,898 
 3,400,000     Walt Disney Co      2.000   09/01/29   3,494,904 
 90,000     Walt Disney Co      6.550   03/15/33   132,718 
 5,000,000     Walt Disney Co      4.700   03/23/50   6,520,188 
       TOTAL MEDIA & ENTERTAINMENT              135,966,381 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 1.7%                
 1,225,000     Abbott Laboratories      3.875   09/15/25   1,405,423 
 1,247,000     Abbott Laboratories      3.750   11/30/26   1,450,852 
 450,000     Abbott Laboratories      5.300   05/27/40   651,676 
 850,000     AbbVie, Inc      2.850   05/14/23   896,501 
 2,625,000  g  AbbVie, Inc      3.800   03/15/25   2,926,972 
 7,200,000  g  AbbVie, Inc      2.950   11/21/26   7,878,353 
 6,150,000  g  AbbVie, Inc      3.200   11/21/29   6,839,406 
 3,850,000  g  AbbVie, Inc      4.050   11/21/39   4,465,257 
 1,450,000     AbbVie, Inc      4.400   11/06/42   1,748,178 
 580,000     AbbVie, Inc      4.450   05/14/46   703,988 
 4,850,000  g  AbbVie, Inc      4.250   11/21/49   5,813,752 
246

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$1,150,000     AstraZeneca plc      3.125%  06/12/27  $1,280,581 
 300,000  g  Bausch Health Cos, Inc      5.750   08/15/27   318,000 
 2,625,000  g  Bausch Health Cos, Inc      5.000   01/30/28   2,471,411 
 3,750,000  g  Bausch Health Cos, Inc      6.250   02/15/29   3,768,750 
 625,000  g  Bristol-Myers Squibb Co      3.875   08/15/25   710,991 
 3,150,000  g  Bristol-Myers Squibb Co      3.450   11/15/27   3,625,222 
 7,725,000  g  Bristol-Myers Squibb Co      3.400   07/26/29   9,003,328 
 4,500,000  g  Bristol-Myers Squibb Co      4.250   10/26/49   5,974,806 
 450,000     Gilead Sciences, Inc      4.000   09/01/36   558,562 
 1,500,000     Gilead Sciences, Inc      4.150   03/01/47   1,909,845 
 345,000  g  Horizon Pharma USA, Inc      5.500   08/01/27   358,928 
 600,000  g  Jaguar Holding Co II      4.625   06/15/25   610,620 
 425,000  g  Jaguar Holding Co II      5.000   06/15/28   435,094 
 1,375,000     Johnson & Johnson      2.450   03/01/26   1,505,452 
 975,000     Johnson & Johnson      2.900   01/15/28   1,097,066 
 900,000     Johnson & Johnson      3.400   01/15/38   1,062,869 
 1,650,000     Merck & Co, Inc      1.450   06/24/30   1,653,314 
 1,575,000     Merck & Co, Inc      2.450   06/24/50   1,580,687 
 1,450,000     Mylan, Inc      4.550   04/15/28   1,665,645 
 1,900,000     Novartis Capital Corp      3.000   11/20/25   2,109,148 
 2,900,000  h  Takeda Pharmaceutical Co Ltd      2.050   03/31/30   2,870,393 
 600,000  h  Takeda Pharmaceutical Co Ltd      3.025   07/09/40   604,575 
 3,000,000     Teva Pharmaceutical Finance Netherlands III BV      3.150   10/01/26   2,678,640 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES          82,634,285 
                        
REAL ESTATE - 1.7%                
 350,000     Alexandria Real Estate Equities, Inc      3.950   01/15/27   392,344 
 450,000     Alexandria Real Estate Equities, Inc      3.950   01/15/28   513,258 
 1,650,000     Alexandria Real Estate Equities, Inc      4.900   12/15/30   2,054,606 
 6,000,000     American Tower Corp      3.300   02/15/21   6,101,987 
 1,200,000     American Tower Corp      3.000   06/15/23   1,279,740 
 875,000     American Tower Corp      5.000   02/15/24   996,254 
 1,425,000     American Tower Corp      2.950   01/15/25   1,549,231 
 475,000     American Tower Corp      3.375   10/15/26   528,304 
 1,200,000     American Tower Corp      3.600   01/15/28   1,339,765 
 2,200,000     American Tower Corp      3.800   08/15/29   2,499,878 
 4,100,000     American Tower Corp      2.900   01/15/30   4,375,060 
 950,000     Brandywine Operating Partnership LP      4.100   10/01/24   989,514 
 1,750,000     Brixmor Operating Partnership LP      3.850   02/01/25   1,807,176 
 575,000     Camden Property Trust      3.150   07/01/29   637,337 
 675,000     Camden Property Trust      2.800   05/15/30   729,193 
 575,000     Country Garden Holdings Co Ltd      4.750   09/28/23   581,507 
 780,000     Crown Castle International Corp      4.875   04/15/22   833,291 
 775,000     Crown Castle International Corp      3.650   09/01/27   863,188 
 1,050,000     Crown Castle International Corp      3.800   02/15/28   1,179,977 
 5,275,000     Crown Castle International Corp      2.250   01/15/31   5,313,077 
 1,425,000     Crown Castle International Corp      3.250   01/15/51   1,422,106 
 1,850,000  g  Cushman & Wakefield US Borrower LLC      6.750   05/15/28   1,928,625 
 625,000     Digital Realty Trust LP      3.700   08/15/27   712,880 
 325,000     Duke Realty LP      3.250   06/30/26   356,395 
 625,000     Duke Realty LP      4.000   09/15/28   733,397 
 925,000     Duke Realty LP      1.750   07/01/30   918,646 
 1,150,000     Equinix, Inc      2.150   07/15/30   1,136,004 
 775,000     Essex Portfolio LP      3.375   01/15/23   811,783 
247

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$2,500,000     Essex Portfolio LP      3.000%  01/15/30  $2,719,563 
 150,000     Healthcare Realty Trust, Inc      3.750   04/15/23   156,163 
 1,500,000     Healthcare Realty Trust, Inc      3.875   05/01/25   1,593,435 
 1,500,000     Healthcare Realty Trust, Inc      3.625   01/15/28   1,579,509 
 525,000     Healthcare Realty Trust, Inc      2.400   03/15/30   499,372 
 325,000     Healthcare Trust of America Holdings LP      3.700   04/15/23   340,007 
 1,225,000     Healthcare Trust of America Holdings LP      3.500   08/01/26   1,323,475 
 3,750,000     Healthcare Trust of America Holdings LP      3.100   02/15/30   3,782,611 
 375,000     Highwoods Realty LP      3.875   03/01/27   396,103 
 725,000     Highwoods Realty LP      4.125   03/15/28   775,276 
 700,000     Highwoods Realty LP      4.200   04/15/29   752,087 
 460,000     Hudson Pacific Properties LP      3.950   11/01/27   476,657 
 2,000,000  g  Ladder Capital Finance Holdings LLLP      4.250   02/01/27   1,600,000 
 575,000  g  MGM Growth Properties Operating Partnership LP      4.625   06/15/25   563,546 
 1,500,000     Mid-America Apartments LP      4.300   10/15/23   1,646,762 
 1,000,000     Mid-America Apartments LP      3.750   06/15/24   1,082,771 
 850,000     Mid-America Apartments LP      4.000   11/15/25   944,177 
 1,750,000     Mid-America Apartments LP      3.600   06/01/27   1,941,543 
 3,925,000     Mid-America Apartments LP      2.750   03/15/30   4,150,579 
 525,000     National Retail Properties, Inc      3.300   04/15/23   546,720 
 550,000     National Retail Properties, Inc      4.000   11/15/25   602,211 
 600,000     National Retail Properties, Inc      3.600   12/15/26   631,383 
 675,000     ProLogis LP      2.250   04/15/30   710,597 
 700,000  g  Realogy Group LLC      7.625   06/15/25   698,250 
 550,000     Regency Centers Corp      3.750   11/15/22   572,865 
 875,000     Regency Centers LP      3.900   11/01/25   936,599 
 925,000     Regency Centers LP      3.600   02/01/27   984,414 
 1,650,000     Regency Centers LP      2.950   09/15/29   1,674,419 
 603,000     SITE Centers Corp      3.625   02/01/25   607,602 
 650,000     SITE Centers Corp      4.700   06/01/27   661,281 
 4,000,000  g  VICI Properties LP      4.125   08/15/30   3,815,000 
 1,150,000     Weingarten Realty Investors      3.375   10/15/22   1,173,709 
 450,000     Weingarten Realty Investors      3.500   04/15/23   461,902 
 400,000     Weingarten Realty Investors      4.450   01/15/24   423,572 
 925,000     Weingarten Realty Investors      3.850   06/01/25   954,133 
 300,000     Weingarten Realty Investors      3.250   08/15/26   299,343 
       TOTAL REAL ESTATE              84,662,159 
                        
RETAILING - 0.5%                
 1,800,000     AutoNation, Inc      3.800   11/15/27   1,861,679 
 425,000  g  Camelot Finance S.A.      4.500   11/01/26   423,937 
 1,775,000     Home Depot, Inc      2.000   04/01/21   1,795,820 
 250,000  g  Lithia Motors, Inc      5.250   08/01/25   250,000 
 2,175,000  g  Lithia Motors, Inc      4.625   12/15/27   2,153,250 
 1,515,000     O’Reilly Automotive, Inc      4.875   01/14/21   1,531,660 
 790,000     O’Reilly Automotive, Inc      3.550   03/15/26   894,286 
 1,400,000     O’Reilly Automotive, Inc      3.600   09/01/27   1,573,101 
 1,225,000     O’Reilly Automotive, Inc      4.200   04/01/30   1,434,207 
 2,145,000     Penske Automotive Group, Inc      5.500   05/15/26   2,139,638 
 3,450,000  g  PetSmart, Inc      7.125   03/15/23   3,401,976 
 600,000  g  PetSmart, Inc      8.875   06/01/25   599,976 
 1,475,000  g  Prosus NV      3.680   01/21/30   1,544,126 
 225,000     QVC, Inc      4.750   02/15/27   217,575 
248

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$3,000,000  g  Staples, Inc      7.500%  04/15/26  $2,357,250 
 1,100,000     Target Corp      3.375   04/15/29   1,271,850 
 3,750,000     Target Corp      2.350   02/15/30   4,009,196 
 400,000     Target Corp      2.650   09/15/30   439,428 
       TOTAL RETAILING              27,898,955 
                        
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.5%                
 4,600,000  g  Broadcom, Inc      4.150   11/15/30   5,005,004 
 3,980,000     Intel Corp      2.875   05/11/24   4,311,568 
 975,000     Intel Corp      2.600   05/19/26   1,061,649 
 2,200,000     Intel Corp      3.750   03/25/27   2,560,884 
 1,325,000     Intel Corp      3.734   12/08/47   1,596,005 
 3,000,000     Intel Corp      4.750   03/25/50   4,226,686 
 700,000     Lam Research Corp      3.750   03/15/26   800,199 
 775,000     Lam Research Corp      4.000   03/15/29   920,798 
 325,000     Lam Research Corp      1.900   06/15/30   332,114 
 325,000     Lam Research Corp      2.875   06/15/50   335,846 
 1,300,000  g  NXP BV      4.875   03/01/24   1,451,885 
 1,425,000  g  NXP BV      3.875   06/18/26   1,594,464 
 725,000  g  NXP BV      3.400   05/01/30   780,136 
 700,000     Texas Instruments, Inc      2.625   05/15/24   751,912 
 775,000     Texas Instruments, Inc      4.150   05/15/48   1,001,934 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT          26,731,084 
                        
SOFTWARE & SERVICES - 1.1%                
 825,000     Activision Blizzard, Inc      2.300   09/15/21   840,887 
 875,000     Activision Blizzard, Inc      3.400   09/15/26   993,785 
 2,975,000     Adobe, Inc      2.300   02/01/30   3,212,195 
 2,000,000     Baidu, Inc      2.875   07/06/22   2,048,200 
 1,275,000     Baidu, Inc      4.375   05/14/24   1,387,848 
 925,000     Fidelity National Information Services, Inc      3.750   05/21/29   1,083,618 
 3,650,000     Fiserv, Inc      2.750   07/01/24   3,892,050 
 5,075,000     Fiserv, Inc      3.500   07/01/29   5,698,772 
 1,425,000     Global Payments, Inc      2.650   02/15/25   1,512,401 
 3,075,000     Global Payments, Inc      3.200   08/15/29   3,293,325 
 2,200,000     International Business Machines Corp      2.850   05/13/22   2,301,084 
 6,400,000     International Business Machines Corp      3.500   05/15/29   7,395,710 
 6,250,000     International Business Machines Corp      1.950   05/15/30   6,391,168 
 3,000,000     Microsoft Corp      2.400   08/08/26   3,275,108 
 1,165,000     Microsoft Corp      3.300   02/06/27   1,331,881 
 471,000     Microsoft Corp      4.100   02/06/37   607,531 
 1,180,000     Microsoft Corp      3.700   08/08/46   1,480,009 
 279,000     Microsoft Corp      2.525   06/01/50   288,684 
 1,375,000  g  Open Text Corp      5.875   06/01/26   1,426,714 
 550,000  g  Open Text Holdings, Inc      4.125   02/15/30   540,375 
 1,125,000  g  Presidio Holdings, Inc      4.875   02/01/27   1,099,688 
 730,000  g  Sabre GLBL, Inc      5.375   04/15/23   681,484 
 650,000     salesforce.com, Inc      3.700   04/11/28   758,305 
 1,825,000  h  Weibo Corp      3.375   07/08/30   1,812,900 
       TOTAL SOFTWARE & SERVICES              53,353,722 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 0.8%                
 2,025,000     Amphenol Corp      2.800   02/15/30   2,152,643 
 5,575,000     Apple, Inc      2.450   08/04/26   6,057,219 
249

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$10,350,000     Apple, Inc      2.050%  09/11/26  $11,058,472 
 1,000,000     Apple, Inc      3.850   05/04/43   1,240,259 
 875,000     Apple, Inc      4.650   02/23/46   1,198,075 
 3,800,000     Broadcom Corp      3.875   01/15/27   4,108,037 
 2,000,000  g  CommScope Finance LLC      8.250   03/01/27   2,055,400 
 1,200,000  g  CommScope, Inc      5.500   06/15/24   1,221,996 
 1,900,000  g  CommScope, Inc      6.000   06/15/25   1,834,830 
 525,000     Corning, Inc      4.375   11/15/57   605,792 
 2,550,000  g  Dell International LLC      4.420   06/15/21   2,621,050 
 650,000  g  Dell International LLC      7.125   06/15/24   673,359 
 2,400,000  g  Dell International LLC      5.300   10/01/29   2,656,903 
 2,525,000  g  Empresas Publicas de Medellin ESP      4.250   07/18/29   2,531,312 
 875,000     Flex Ltd      4.875   06/15/29   965,435 
 1,500,000     Tyco Electronics Group S.A.      3.500   02/03/22   1,559,602 
 450,000     Tyco Electronics Group S.A.      3.700   02/15/26   500,621 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           43,041,005 
                        
TELECOMMUNICATION SERVICES - 2.6%                
 2,420,000     AT&T, Inc      3.800   03/15/22   2,548,062 
 1,000,000     AT&T, Inc      3.400   06/15/22   1,051,248 
 2,775,000     AT&T, Inc      3.400   05/15/25   3,051,269 
 950,000     AT&T, Inc      3.600   07/15/25   1,055,101 
 1,385,000     AT&T, Inc      3.875   01/15/26   1,558,398 
 1,100,000     AT&T, Inc      3.800   02/15/27   1,238,695 
 8,280,000     AT&T, Inc      4.350   03/01/29   9,652,143 
 5,120,000     AT&T, Inc      4.300   02/15/30   5,981,749 
 2,085,000     AT&T, Inc      4.500   05/15/35   2,473,493 
 12,550,000     AT&T, Inc      4.500   03/09/48   14,726,792 
 8,100,000     AT&T, Inc      3.650   06/01/51   8,449,830 
 3,000,000  g  Bharti Airtel Ltd      4.375   06/10/25   3,095,988 
 1,325,000  g  C&W Senior Financing Designated Activity Co      7.500   10/15/26   1,354,812 
 3,200,000  g  C&W Senior Financing Designated Activity Co      6.875   09/15/27   3,176,000 
 1,325,000  g  Front Range BidCo, Inc      4.000   03/01/27   1,257,505 
 1,375,000  g  Globo Comunicacao e Participacoes S.A.      4.875   01/22/30   1,240,937 
 2,520,000  g  Millicom International Cellular S.A.      5.125   01/15/28   2,533,104 
 2,150,000  g  MTN Mauritius Investment Ltd      6.500   10/13/26   2,268,182 
 3,000,000  g,i  Network i2i Ltd  DGS5 + 4.277%   5.650   N/A‡   2,904,000 
 500,000     Orange S.A.      5.375   01/13/42   700,049 
 1,150,000     Rogers Communications, Inc      3.700   11/15/49   1,265,537 
 1,875,000     Telefonica Emisiones SAU      4.103   03/08/27   2,140,105 
 925,000     T-Mobile USA, Inc      6.375   03/01/25   950,438 
 8,650,000  g  T-Mobile USA, Inc      3.875   04/15/30   9,641,031 
 5,575,000  g  T-Mobile USA, Inc      2.550   02/15/31   5,594,624 
 725,000  g  T-Mobile USA, Inc      4.500   04/15/50   854,014 
 2,300,000  g  Turkcell Iletisim Hizmetleri AS.      5.800   04/11/28   2,276,545 
 146,000     Verizon Communications, Inc      3.376   02/15/25   162,027 
 1,000,000     Verizon Communications, Inc      4.125   03/16/27   1,178,798 
 5,320,000     Verizon Communications, Inc      4.329   09/21/28   6,404,351 
 225,000     Verizon Communications, Inc      3.875   02/08/29   266,272 
 575,000     Verizon Communications, Inc      3.150   03/22/30   649,939 
 9,113,000     Verizon Communications, Inc      4.272   01/15/36   11,282,302 
 10,000,000     Verizon Communications, Inc      4.000   03/22/50   12,589,007 
 3,200,000     Vodafone Group plc      4.250   09/17/50   3,810,500 
250

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$740,000     Vodafone Group plc      7.000%  04/04/79  $867,407 
       TOTAL TELECOMMUNICATION SERVICES           130,250,254 
                        
TRANSPORTATION - 1.1%                
 2,500,000  g  Adani Ports & Special Economic Zone Ltd      4.000   07/30/27   2,402,774 
 1,690,000  g  Airbus SE      3.150   04/10/27   1,744,141 
 2,300,000     Boeing Co      3.250   02/01/35   2,096,461 
 1,050,000     Boeing Co      3.750   02/01/50   947,925 
 2,300,000     Burlington Northern Santa Fe LLC      3.050   02/15/51   2,496,387 
 2,325,000     Canadian Pacific Railway Co      2.050   03/05/30   2,378,988 
 2,500,000  g  Cargo Aircraft Management, Inc      4.750   02/01/28   2,478,125 
 1,990,000     CSX Corp      3.250   06/01/27   2,231,131 
 700,000     CSX Corp      3.800   03/01/28   807,535 
 4,015,000     CSX Corp      4.250   03/15/29   4,800,731 
 3,175,000     CSX Corp      2.400   02/15/30   3,353,477 
 2,350,000     CSX Corp      3.350   09/15/49   2,583,223 
 1,950,000     Delta Air Lines, Inc      2.900   10/28/24   1,581,480 
 2,575,000  g  Delta Air Lines, Inc      7.000   05/01/25   2,658,090 
 1,375,000     Delta Air Lines, Inc      3.750   10/28/29   1,100,000 
 1,000,000  g  DP World Ltd      5.625   09/25/48   1,090,000 
 50,000     FedEx Corp      3.250   04/01/26   54,332 
 8,250,000     FedEx Corp      3.100   08/05/29   8,804,123 
 1,100,000  g  Indian Railway Finance Corp Ltd      3.249   02/13/30   1,087,789 
 775,000  g  Lima Metro Line 2 Finance Ltd      4.350   04/05/36   825,762 
 1,175,000  g  Mileage Plus Holdings LLC      6.500   06/20/27   1,177,938 
 1,550,000     Union Pacific Corp      3.950   09/10/28   1,839,948 
 2,275,000     Union Pacific Corp      3.839   03/20/60   2,672,196 
       TOTAL TRANSPORTATION              51,212,556 
                        
UTILITIES - 3.2%                
 3,000,000  g  Adani Green Energy UP Ltd      6.250   12/10/24   3,125,898 
 325,000     AEP Transmission Co LLC      3.100   12/01/26   363,668 
 350,000     AEP Transmission Co LLC      4.000   12/01/46   420,101 
 700,000     Alabama Power Co      4.150   08/15/44   836,717 
 1,850,000     Ameren Corp      3.650   02/15/26   2,068,583 
 525,000     American Water Capital Corp      3.000   12/01/26   563,120 
 600,000     American Water Capital Corp      2.800   05/01/30   652,362 
 500,000     American Water Capital Corp      4.000   12/01/46   602,743 
 1,475,000     American Water Capital Corp      3.750   09/01/47   1,712,565 
 400,000     American Water Capital Corp      3.450   05/01/50   449,405 
 250,000     Atmos Energy Corp      4.125   10/15/44   308,135 
 800,000  g  Azure Power Solar Energy Pvt Ltd      5.650   12/24/24   804,637 
 1,325,000     Baltimore Gas & Electric Co      3.750   08/15/47   1,536,327 
 1,650,000     Baltimore Gas & Electric Co      3.200   09/15/49   1,750,211 
 925,000     Black Hills Corp      4.250   11/30/23   1,007,191 
 325,000     Black Hills Corp      3.150   01/15/27   341,496 
 300,000     CenterPoint Energy Resources Corp      6.250   02/01/37   395,973 
 525,000  g  Clearway Energy Operating LLC      4.750   03/15/28   535,469 
 1,000,000     CMS Energy Corp      3.600   11/15/25   1,088,365 
 3,050,000  i  CMS Energy Corp  DGS5 + 4.116%   4.750   06/01/50   3,109,774 
 200,000     Commonwealth Edison Co      5.900   03/15/36   283,550 
 2,000,000     Consumers Energy Co      3.950   07/15/47   2,467,416 
 1,000,000     Consumers Energy Co      2.500   05/01/60   953,279 
251

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$1,225,000     Dominion Energy Gas Holdings LLC      2.500%  11/15/24  $1,291,424 
 750,000     Dominion Resources, Inc      2.000   08/15/21   760,908 
 3,275,000     DTE Electric Co      2.250   03/01/30   3,446,790 
 1,675,000     DTE Electric Co      2.950   03/01/50   1,750,945 
 1,175,000     Duke Energy Corp      1.800   09/01/21   1,190,359 
 1,725,000     Duke Energy Corp      2.650   09/01/26   1,870,203 
 1,175,000     Duke Energy Corp      3.750   09/01/46   1,330,580 
 5,000,000     Duke Energy Florida LLC      3.400   10/01/46   5,632,480 
 2,800,000     Enel Chile S.A.      4.875   06/12/28   3,122,000 
 1,125,000     Entergy Corp      2.950   09/01/26   1,241,418 
 3,450,000  g  Eskom Holdings SOC Ltd      8.450   08/10/28   3,215,655 
 6,775,000     Exelon Corp      4.050   04/15/30   7,821,292 
 1,850,000     Exelon Generation Co LLC      3.400   03/15/22   1,922,671 
 50,000  g  FirstEnergy Transmission LLC      4.350   01/15/25   56,548 
 1,425,000     Florida Power & Light Co      3.990   03/01/49   1,830,590 
 1,350,000     Florida Power & Light Co      3.150   10/01/49   1,534,386 
 1,575,000  g  Hunt Oil Co of Peru LLC Sucursal Del Peru      6.375   06/01/28   1,527,750 
 750,000     Indiana Michigan Power Co      3.750   07/01/47   848,365 
 125,000     Integrys Energy Group, Inc      4.170   11/01/20   126,440 
 3,000,000  g  Israel Electric Corp Ltd      4.250   08/14/28   3,391,287 
 1,525,000  g  Kallpa Generacion SA      4.125   08/16/27   1,553,609 
 1,900,000  g  KazTransGas JSC      4.375   09/26/27   2,031,375 
 350,000     LG&E and KU Energy LLC      3.750   11/15/20   351,321 
 775,000     MidAmerican Energy Co      3.650   04/15/29   924,749 
 1,550,000     MidAmerican Energy Co      3.650   08/01/48   1,835,128 
 1,400,000  g  Minejesa Capital BV      4.625   08/10/30   1,421,000 
 775,000  g  Narragansett Electric Co      3.395   04/09/30   872,736 
 1,000,000     Nevada Power Co      5.450   05/15/41   1,295,506 
 1,150,000  g  Nexa Resources S.A.      6.500   01/18/28   1,164,950 
 885,000     NextEra Energy Capital Holdings, Inc      3.250   04/01/26   990,408 
 2,525,000     NextEra Energy Capital Holdings, Inc      2.750   11/01/29   2,721,850 
 6,050,000     NextEra Energy Capital Holdings, Inc      2.250   06/01/30   6,214,997 
 550,000  g  NextEra Energy Operating Partners LP      4.250   09/15/24   550,000 
 1,700,000     NiSource, Inc      3.490   05/15/27   1,922,154 
 1,400,000     NiSource, Inc      3.600   05/01/30   1,599,622 
 1,400,000     Northern States Power Co      3.600   09/15/47   1,638,446 
 1,075,000     Northern States Power Co      2.900   03/01/50   1,175,126 
 1,850,000     Northern States Power Co      2.600   06/01/51   1,864,973 
 165,000     NRG Energy, Inc      6.625   01/15/27   172,425 
 1,350,000     NRG Energy, Inc      5.750   01/15/28   1,424,250 
 500,000     NSTAR Electric Co      3.950   04/01/30   599,561 
 1,550,000     Ohio Power Co      4.150   04/01/48   1,908,139 
 1,550,000     Ohio Power Co      4.000   06/01/49   1,878,294 
 575,000     ONE Gas, Inc      3.610   02/01/24   629,127 
 825,000     PECO Energy Co      3.000   09/15/49   871,761 
 2,325,000     PECO Energy Co      2.800   06/15/50   2,399,024 
 2,000,000  g  Pelabuhan Indonesia III PT      4.875   10/01/24   2,135,000 
 2,000,000  g  Perusahaan Listrik Negara PT      4.125   05/15/27   2,105,000 
 1,800,000  g  Perusahaan Listrik Negara PT      5.450   05/21/28   2,072,250 
 2,000,000  g,q  Petra Diamonds US Treasury plc      7.250   05/01/22   780,000 
 50,000     Potomac Electric Power Co      7.900   12/15/38   74,982 
 300,000     PPL Capital Funding, Inc      3.950   03/15/24   325,053 
 1,750,000  g  Promigas S.A. ESP      3.750   10/16/29   1,715,000 
 2,475,000     PSEG Power LLC      3.850   06/01/23   2,672,436 
252

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$925,000  g  PTTEP Treasury Center Co Ltd      2.587%  06/10/27  $944,049 
 550,000     Public Service Co of Colorado      4.750   08/15/41   689,779 
 1,600,000     Public Service Co of Colorado      4.050   09/15/49   1,987,838 
 275,000     Public Service Co of Colorado      3.200   03/01/50   307,279 
 1,733,000     Public Service Electric & Gas Co      3.850   05/01/49   2,127,798 
 850,000     Public Service Electric & Gas Co      3.200   08/01/49   946,582 
 2,500,000  g,h  Rumo Luxembourg Sarl      5.250   01/10/28   2,500,000 
 8,400,000     Sempra Energy      4.875   N/A‡   8,400,000 
 2,587,555  g  Solar Star Funding LLC      3.950   06/30/35   2,605,931 
 1,325,000     Southern Co      4.400   07/01/46   1,569,053 
 1,800,000     Southern Co Gas Capital Corp      3.875   11/15/25   1,991,562 
 625,000     Southern Co Gas Capital Corp      4.400   06/01/43   705,480 
 425,000     Southern Co Gas Capital Corp      3.950   10/01/46   468,900 
 1,650,000     Southern Power Co      2.500   12/15/21   1,691,468 
 1,550,000     Southern Power Co      4.150   12/01/25   1,770,829 
 2,500,000  g  Talen Energy Supply LLC      7.625   06/01/28   2,500,000 
 650,000     Virginia Electric & Power Co      2.950   11/15/26   720,706 
 650,000     Virginia Electric & Power Co      3.500   03/15/27   737,009 
 775,000     Virginia Electric & Power Co      3.800   09/15/47   905,776 
 750,000  g  Vistra Operations Co LLC      5.500   09/01/26   767,355 
 850,000     Wisconsin Power & Light Co      4.100   10/15/44   969,961 
 575,000     Xcel Energy, Inc      3.350   12/01/26   644,448 
 215,000     Xcel Energy, Inc      4.800   09/15/41   261,249 
       TOTAL UTILITIES              157,392,380 
                        
       TOTAL CORPORATE BONDS              2,115,126,171 
       (Cost $2,007,369,534)                
                        
GOVERNMENT BONDS - 30.9%                
                        
AGENCY SECURITIES - 0.1%                
 2,500,000  g  Reliance Industries Ltd      3.667   11/30/27   2,686,753 
       TOTAL AGENCY SECURITIES              2,686,753 
                        
FOREIGN GOVERNMENT BONDS - 2.9%                
 3,850,000  g  Abu Dhabi Government International Bond      3.125   09/30/49   4,005,848 
 3,325,000  g  Arab Petroleum Investments Corp      4.125   09/18/23   3,593,657 
 1,235,000    Argentina Republic Government International Bond      5.625   01/26/22   511,907 
 550,000  g  Banque Ouest Africaine de Developpement      5.000   07/27/27   571,111 
 2,000,000  g  Banque Ouest Africaine de Developpement      4.700   10/22/31   2,009,274 
 17,500  g  Barbados Government International Bond      6.500   02/01/21   17,325 
 287,000  g  Barbados Government International Bond      6.500   10/01/29   258,903 
 4,000,000  g  Bermuda Government International Bond      3.717   01/25/27   4,240,000 
 3,150,000  g  Bermuda Government International Bond      4.750   02/15/29   3,546,900 
 1,000,000  g  BNG Bank NV      3.125   11/08/21   1,037,079 
 1,450,000     Brazilian Government International Bond      3.875   06/12/30   1,398,235 
 3,100,000     Brazilian Government International Bond      5.625   02/21/47   3,208,500 
 3,575,000     Chile Government International Bond      2.550   01/27/32   3,718,000 
 3,000,000     Colombia Government International Bond      5.000   06/15/45   3,367,500 
 825,000  g  Costa Rica Government International Bond      6.125   02/19/31   712,388 
 1,850,000  g  Costa Rica Government International Bond      5.625   04/30/43   1,381,025 
DOP81,200,000  g  Dominican Republic Government International Bond      8.900   02/15/23   1,272,305 
253

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
DOP 160,000,000  g  Dominican Republic Government International Bond      12.000%  03/05/32  $2,652,183 
$3,000,000  g  Dominican Republic Government International Bond      6.500   02/15/48   2,763,000 
 2,625,000  †,g  Ecuador Government International Bond      8.875   10/23/27   1,102,500 
 2,525,000  g  Egypt Government International Bond      5.577   02/21/23   2,578,341 
EUR1,400,000  g  Egypt Government International Bond      5.625   04/16/30   1,412,811 
$2,475,000  g  Egypt Government International Bond      8.500   01/31/47   2,404,794 
 2,250,000  g  Egypt Government International Bond      8.875   05/29/50   2,211,440 
 1,200,000  g  El Salvador Government International Bond      7.625   02/01/41   1,015,800 
 1,500,000  g  Export-Import Bank of China      2.850   09/16/20   1,505,863 
 1,375,000  g  Export-Import Bank of India      3.875   02/01/28   1,422,534 
 2,200,000  g  Ghana Government International Bond      8.125   03/26/32   2,061,885 
 1,675,000  g  Guatemala Government International Bond      4.375   06/05/27   1,733,625 
 1,200,000  g  Guatemala Government International Bond      6.125   06/01/50   1,387,800 
 425,000  g  Honduras Government International Bond      5.625   06/24/30   432,438 
 1,100,000  g  Iraq Government International Bond      5.800   01/15/28   991,782 
 3,100,000     Israel Government International Bond      3.250   01/17/28   3,500,877 
 2,175,000     Israel Government International Bond      4.125   01/17/48   2,696,008 
 3,025,000     Jamaica Government International Bond      8.000   03/15/39   3,729,825 
 2,500,000  g  Japan Finance Organization for Municipalities      3.000   03/12/24   2,700,526 
 2,000,000  g  Jordan Government International Bond      4.950   07/07/25   2,000,000 
 550,000  g  Kazakhstan Government International Bond      4.875   10/14/44   695,626 
 2,500,000  g  Kenya Government International Bond      7.000   05/22/27   2,460,662 
 775,000  g  Kommunalbanken AS.      1.375   10/26/20   777,276 
 1,560,000  g  Kommunalbanken AS.      2.750   02/05/24   1,688,831 
 1,650,000  g  Korea Housing Finance Corp      2.000   10/11/21   1,673,693 
 1,500,000  g  Korea Housing Finance Corp      3.000   10/31/22   1,566,876 
 3,550,000  g  Kuwait Government International Bond      2.750   03/20/22   3,658,460 
 2,200,000     Mexico Government International Bond      4.150   03/28/27   2,354,000 
 575,000     Mexico Government International Bond      3.250   04/16/30   569,831 
 1,859,000     Mexico Government International Bond      6.050   01/11/40   2,263,333 
 550,000  g  Morocco Government International Bond      5.500   12/11/42   670,930 
 1,400,000  g  Namibia Government International Bond      5.250   10/29/25   1,418,454 
 1,500,000  g  Nederlandse Waterschapsbank NV      1.875   04/14/22   1,540,307 
 2,425,000  g  Nigeria Government International Bond      6.500   11/28/27   2,296,670 
 3,000,000     Panama Government International Bond      4.300   04/29/53   3,573,780 
 1,600,000  g  Panama Notas del Tesoro      3.750   04/17/26   1,672,000 
 925,000  g  Paraguay Government International Bond      4.700   03/27/27   1,010,572 
 1,475,000  g  Paraguay Government International Bond      5.400   03/30/50   1,707,313 
 3,400,000  g  Perusahaan Penerbit SBSN Indonesia III      3.900   08/20/24   3,625,216 
 3,350,000  g  Perusahaan Penerbit SBSN Indonesia III      4.400   03/01/28   3,719,036 
PEN6,775,000  g  Peruvian Government International Bond      5.400   08/12/34   2,015,478 
$539,583  g  Petroamazonas EP      4.625   12/06/21   380,406 
 1,650,000  †,g  Provincia de Buenos Aires      7.875   06/15/27   676,516 
 1,500,000  †,g  Provincia de Mendoza Argentina      8.375   05/19/24   780,015 
 700,000  g  Qatar Government International Bond      3.400   04/16/25   760,897 
 1,375,000  g  Qatar Government International Bond      3.750   04/16/30   1,561,612 
 5,000,000     Republic of Italy Government International Bond      4.000   10/17/49   5,062,400 
 2,475,000     Republic of South Africa Government International Bond      4.850   09/27/27   2,414,681 
 2,150,000  g  Republic of Uzbekistan Government International Bond      4.750   02/20/24   2,261,878 
 1,175,000  g  Saudi Government International Bond      4.500   04/17/30   1,384,103 
254

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$2,000,000  g  Saudi Government International Bond      3.750%  01/21/55  $2,036,048 
 1,200,000  g  Senegal Government International Bond      6.250   05/23/33   1,218,247 
 2,350,000     South Africa Government International Bond      4.300   10/12/28   2,173,226 
 1,500,000  g  Sri Lanka Government International Bond      6.850   03/14/24   1,041,901 
 1,550,000  g  Sri Lanka Government International Bond      6.850   11/03/25   1,029,693 
 2,050,000     State of Israel      3.375   01/15/50   2,245,611 
EUR3,475,000  g  Ukraine Government International Bond      4.375   01/27/30   3,339,626 
$3,000,000  †,g  Zambia Government International Bond      8.500   04/14/24   1,590,398 
       TOTAL FOREIGN GOVERNMENT BONDS              146,069,591 
                        
MORTGAGE BACKED - 17.8%                
 628     Federal Home Loan Mortgage Corp (FHLMC)      8.250   07/15/21   637 
 237     FHLMC      7.000   04/15/22   241 
 2,632,000     FHLMC      3.000   10/15/33   2,942,753 
 4,624,283     FHLMC      3.500   08/15/43   4,787,037 
 4,226,199     FHLMC      3.500   03/15/44   4,640,525 
 3,674,843  i  FHLMC  LIBOR 1 M + 5.920%   5.735   03/15/44   764,683 
 11,081,812     FHLMC      4.000   10/01/47   12,394,775 
 7,061,522  i  FHLMC  LIBOR 1 M + 9.920%   9.624   06/15/48   8,888,482 
 5,569,770  i  FHLMC  LIBOR 1 M + 9.840%   9.544   10/15/48   7,109,640 
 77,023,578     FHLMC      3.000   11/01/49   82,009,517 
 42     Federal Home Loan Mortgage Corp Gold (FGLMC)      7.000   10/01/20   42 
 1,056     FGLMC      8.000   01/01/31   1,095 
 200,937     FGLMC      7.000   12/01/33   235,528 
 33,801     FGLMC      4.500   10/01/34   36,622 
 60,040     FGLMC      7.000   05/01/35   69,882 
 2,002,897     FGLMC      5.000   06/01/36   2,298,039 
 997,457     FGLMC      4.500   10/01/44   1,106,252 
 133,895     FGLMC      4.500   11/01/44   148,502 
 214,892     FGLMC      4.500   11/01/44   238,364 
 92,092     FGLMC      4.500   12/01/44   100,590 
 131,702     FGLMC      4.500   12/01/44   146,145 
 961,932     FGLMC      3.500   04/01/45   1,055,788 
 3,856,159     FGLMC      3.500   08/01/45   4,254,710 
 8,353,482     FGLMC      3.500   10/01/45   9,132,995 
 5,642,655     FGLMC      4.000   12/01/45   6,225,958 
 20,151,123     FGLMC      3.500   08/01/46   22,009,354 
 31,439,064     FGLMC      3.000   02/01/47   33,246,190 
 2,336,924     FGLMC      4.500   06/01/47   2,592,000 
 2,785,019     FGLMC      4.000   09/01/47   3,034,430 
 3,200,929     FGLMC      3.500   12/01/47   3,498,084 
 32,487,872     FGLMC      3.500   03/01/48   35,495,346 
 10,517,683     FGLMC      4.000   03/01/48   11,621,980 
 2,806,610     FGLMC      4.000   07/01/48   3,073,428 
 20,981,796     FGLMC      4.500   08/01/48   23,295,678 
 4     Federal National Mortgage Association (FNMA)      9.000   07/25/20   4 
 74     FNMA      6.500   08/25/20   74 
 394     FNMA      6.500   09/25/20   395 
 429     FNMA      6.750   06/25/21   430 
 2,971     FNMA      7.000   10/25/21   3,011 
 1,577     FNMA      7.000   07/01/22   1,590 
 631     FNMA      6.500   07/25/22   657 
 1,727     FNMA      9.000   11/01/25   1,898 
255

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$24,456     FNMA      7.000%  05/01/26  $27,042 
 63,473     FNMA      7.000   07/25/26   70,581 
 1,509     FNMA      7.500   01/01/29   1,685 
 722     FNMA      7.500   02/01/30   837 
 262,378     FNMA      6.500   12/01/31   295,534 
 321,729     FNMA      6.000   04/01/32   356,511 
 2,502,870     FNMA      3.500   05/01/32   2,652,398 
 255,247     FNMA      7.000   07/01/32   295,000 
 55,475     FNMA      7.000   07/01/32   64,501 
 84,904     FNMA      7.000   07/01/32   101,157 
 2,166,403     FNMA      3.500   11/01/32   2,299,663 
 61,565     FNMA      4.500   10/01/33   67,330 
 46,050     FNMA      6.000   03/01/34   50,440 
 2,787,567     FNMA      5.000   05/01/35   3,198,005 
 247,796     FNMA      5.000   06/25/35   258,847 
 1,568,103     FNMA      5.000   10/01/35   1,801,146 
 1,192,047     FNMA      5.000   02/01/36   1,368,299 
 1,520,457     FNMA      6.500   08/01/37   1,718,949 
 70,859     FNMA      6.000   09/01/37   81,597 
 857,375     FNMA      5.500   11/01/38   984,794 
 904,677     FNMA      5.500   03/01/39   1,038,108 
 920,678     FNMA      6.000   09/01/39   1,073,753 
 14,538,439     FNMA      3.000   05/01/40   15,341,958 
 5,224,429     FNMA      3.500   05/01/40   5,497,983 
 539,490     FNMA      5.000   09/01/40   619,712 
 712,599     FNMA      5.000   05/01/41   818,964 
 6,415,709     FNMA      4.000   09/01/42   6,987,219 
 514,413    FNMA      3.295   12/25/42   182,484 
 2,005,176     FNMA      3.000   04/25/43   2,107,298 
 4,797,618  i  FNMA  LIBOR 1 M + 5.950%   5.766   09/25/43   1,087,605 
 4,083,680     FNMA      4.000   01/01/44   4,515,104 
 1,406,896     FNMA      4.500   02/01/44   1,561,038 
 216,326     FNMA      4.500   03/01/44   241,609 
 1,120,016     FNMA      4.500   06/01/44   1,242,719 
 3,412,371     FNMA      4.500   10/01/44   3,786,643 
 954,401     FNMA      4.000   11/01/44   1,034,551 
 1,112,547     FNMA      5.000   11/01/44   1,276,182 
 1,146,426     FNMA      4.000   01/01/45   1,248,753 
 4,648,553     FNMA      3.000   02/25/45   4,794,761 
 4,831,796     FNMA      3.000   02/25/45   5,056,787 
 246,790     FNMA      3.500   03/01/45   270,783 
 182,589     FNMA      3.500   03/01/45   200,341 
 416,263     FNMA      4.500   03/01/45   461,492 
 2,771,518     FNMA      3.000   03/25/45   2,880,504 
 4,035,654     FNMA      3.500   04/25/45   4,203,289 
 2,459,932     FNMA      3.500   05/01/45   2,713,323 
 7,780,464     FNMA      4.000   06/01/45   8,533,308 
 2,906,698     FNMA      4.000   12/01/45   3,210,852 
 937,403     FNMA      4.000   12/01/45   1,014,123 
 10,015,176     FNMA      3.000   12/25/45   10,462,993 
 1,217,859     FNMA      3.500   01/01/46   1,331,222 
 6,647,509     FNMA      4.000   01/01/46   7,350,074 
 4,082,642     FNMA      4.000   03/01/46   4,478,375 
 627,394     FNMA      3.500   06/01/46   685,796 
256

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$6,247,624     FNMA      3.500%  07/01/46  $6,829,188 
 7,641,571     FNMA      3.500   07/01/46   8,345,510 
 308,360     FNMA      3.000   08/01/46   326,303 
 7,451,729     FNMA      3.000   10/01/46   7,720,624 
 2,229,922     FNMA      3.500   10/01/46   2,437,507 
 34,251,856     FNMA      3.000   11/01/46   36,175,599 
 8,016,670     FNMA      3.500   12/01/46   8,508,034 
 37,273,144     FNMA      3.500   01/01/47   39,504,610 
 2,551,620     FNMA      3.000   04/25/47   2,729,314 
 3,512,666     FNMA      4.500   05/01/47   3,903,786 
 11,783,720     FNMA      3.500   08/01/47   12,604,869 
 9,957,853     FNMA      3.500   09/01/47   10,631,709 
 4,454,831     FNMA      4.000   09/01/47   4,755,558 
 6,228,882     FNMA      3.000   11/01/47   6,450,498 
 2,240,879     FNMA      3.500   11/01/47   2,453,993 
 10,396,417     FNMA      4.000   12/01/47   11,492,567 
 1,458,094  h  FNMA      4.000   12/01/47   1,554,255 
 20,675,890     FNMA      3.500   01/01/48   22,665,784 
 1,757,518     FNMA      3.500   01/01/48   1,915,830 
 11,683,099     FNMA      4.500   01/01/48   13,085,099 
 2,364,992     FNMA      4.500   02/01/48   2,647,812 
 19,481,025     FNMA      3.000   02/25/48   20,673,729 
 4,522,852     FNMA      4.000   03/01/48   4,996,319 
 9,950,846     FNMA      4.500   03/01/48   11,140,807 
 5,034,948     FNMA      4.000   04/01/48   5,342,777 
 8,296,329     FNMA      4.500   05/01/48   9,288,494 
 6,144,156     FNMA      4.500   05/01/48   6,878,944 
 4,601,617     FNMA      5.000   08/01/48   5,218,177 
 6,065,188  j  FNMA      0.000   11/25/48   5,638,599 
 6,065,188     FNMA      3.000   11/25/48   667,860 
 10,955     FNMA      3.000   05/01/49   11,338 
 1,014,539     FNMA      3.000   08/01/49   1,102,496 
 30,000,000  h  FNMA      2.000   07/25/50   30,685,547 
 110,000,000  h  FNMA      2.500   07/25/50   114,627,734 
 42,000,000  h  FNMA      3.000   07/25/50   44,221,406 
 83,635     Government National Mortgage Association (GNMA)      5.000   02/15/33   91,511 
 208,734     GNMA      5.000   09/15/33   234,987 
 4,013,673     GNMA      3.700   10/15/33   4,415,188 
 19,502     GNMA      5.500   04/15/34   22,564 
 24,717     GNMA      5.000   04/15/38   28,238 
 11,718     GNMA      4.500   02/20/39   13,471 
 1,321,646     GNMA      4.500   02/20/41   1,476,488 
 15,795     GNMA      4.500   08/20/41   17,788 
 55,522     GNMA      4.500   09/20/41   63,788 
 11,061     GNMA      4.500   01/20/44   12,700 
 9,771     GNMA      4.500   02/20/44   11,111 
 25,052     GNMA      4.500   05/20/44   28,808 
 158,018     GNMA      4.500   05/20/44   181,715 
 180,415     GNMA      4.500   08/20/44   207,312 
 116,680     GNMA      4.500   09/20/44   134,216 
 69,642     GNMA      4.500   10/20/44   79,221 
 27,524     GNMA      4.500   11/20/44   29,693 
 114,651     GNMA      4.500   12/20/44   131,827 
257

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$153,333     GNMA      4.500%  02/20/45  $172,300 
 179,899     GNMA      4.500   08/20/45   206,906 
 179,766     GNMA      4.500   08/20/45   206,786 
 166,183     GNMA      4.500   12/20/45   191,114 
 7,175,759     GNMA      4.000   06/20/46   840,688 
 8,383,585     GNMA      3.500   01/20/49   9,167,791 
       TOTAL MORTGAGE BACKED              894,666,260 
                        
MUNICIPAL BONDS - 4.5%                
 1,000,000     Anaheim City School District      3.825   08/01/23   1,074,030 
 5,000,000     California Housing Finance Agency      2.966   08/01/22   5,207,600 
 2,000,000     California State University      3.803   11/01/30   2,275,660 
 9,745,000     Chicago Housing Authority      3.922   01/01/27   10,967,608 
 7,500,000     Chicago Housing Authority      4.361   01/01/38   8,776,725 
 1,620,000     City & County of San Francisco CA Community Facilities District      3.000   09/01/25   1,720,796 
 1,200,000     City & County of San Francisco CA Community Facilities District      3.250   09/01/27   1,298,304 
 5,500,000     City of Austin TX Electric Utility Revenue      3.336   11/15/39   5,969,480 
 5,500,000     City of Cleveland OH Airport System Revenue      2.492   01/01/25   5,685,020 
 4,155,000     City of Cleveland OH Airport System Revenue      2.832   01/01/30   4,231,951 
 1,040,000     City of Fort Worth TX      3.955   03/01/32   1,068,506 
 1,390,000     City of Fort Worth TX      4.088   03/01/37   1,420,163 
 2,500,000     City of Inglewood CA      4.300   09/01/40   2,682,950 
 7,300,000     City of New York NY      2.280   08/01/25   7,614,995 
 500,000     City of San Angelo TX Water & Sewer Revenue      4.261   02/15/37   517,185 
 2,995,000     County of Miami-Dade FL Aviation Revenue      2.218   10/01/22   3,039,026 
 5,000,000     County of Miami-Dade FL Aviation Revenue      2.368   10/01/23   5,113,250 
 3,425,000     County of Miami-Dade FL Aviation Revenue      2.949   10/01/25   3,470,998 
 1,555,000     County of Miami-Dade FL Aviation Revenue      3.354   10/01/29   1,548,158 
 5,475,000     County of Miami-Dade FL Aviation Revenue      4.280   10/01/41   5,851,133 
 2,000,000     Denver City & County School District No      4.242   12/15/37   2,410,980 
 2,000,000     Florida Municipal Power Agency      2.769   10/01/23   2,043,740 
 2,100,000     Florida Municipal Power Agency      2.919   10/01/24   2,169,027 
 3,000,000     Florida Municipal Power Agency      3.059   10/01/25   3,135,720 
 7,920,000     Grand Parkway Transportation Corp      3.236   10/01/52   8,252,561 
 600,000     Grant County Public Utility District No 2      5.630   01/01/27   754,854 
 620,000     Great Lakes Water Authority Water Supply System Revenue      1.684   07/01/22   633,268 
 1,405,000     Great Lakes Water Authority Water Supply System Revenue      1.879   07/01/23   1,454,484 
 1,250,000     Great Lakes Water Authority Water Supply System Revenue      1.984   07/01/24   1,307,025 
 845,000     Illinois Housing Development Authority      4.105   07/01/27   892,928 
 2,430,000     Indiana Finance Authority      3.166   07/01/30   2,664,155 
 2,270,000     Los Angeles County Public Works Financing Authority      2.910   12/01/20   2,288,160 
 1,250,000     Los Angeles County Public Works Financing Authority      3.450   12/01/22   1,314,775 
 2,000,000     Los Angeles County Redevelopment Agency      2.000   09/01/22   2,031,160 
 3,960,000     Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy      4.000   08/01/24   4,295,372 
 3,840,000     Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy      3.375   09/01/35   4,024,243 
258

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$1,250,000     Maryland Community Development Administration Housing Revenue      2.713%  03/01/25  $1,314,162 
 5,000,000     Maryland Health & Higher Educational Facilities Authority      3.632   07/01/24   5,375,500 
 410,000     Massachusetts Housing Finance Agency      4.786   12/01/32   430,918 
 1,135,000     Massachusetts Housing Finance Agency      4.621   12/01/38   1,162,081 
 565,000     Massachusetts Housing Finance Agency      4.721   06/01/40   578,498 
 3,500,000     Massachusetts Water Resources Authority      2.453   08/01/31   3,692,150 
 3,500,000     Massachusetts Water Resources Authority      2.553   08/01/32   3,687,635 
 500,000     New Jersey Economic Development Authority      3.700   06/15/21   509,970 
 3,515,000     New Jersey Economic Development Authority      4.150   06/15/22   3,694,722 
 1,500,000     New Jersey Educational Facilities Authority      2.304   07/01/22   1,557,465 
 1,415,000     New Jersey Educational Facilities Authority      2.504   07/01/23   1,504,004 
 1,615,000     New Jersey Institute of Technology      4.177   07/01/37   1,725,741 
 2,655,000     New York City Transitional Finance Authority Future Tax Secured Revenue      5.000   02/01/23   2,934,359 
 1,000,000     New York City Transitional Finance Authority Future Tax Secured Revenue      3.780   02/01/26   1,088,460 
 2,495,000     New York Transportation Development Corp      5.000   01/01/27   2,662,914 
 8,390,000     New York Transportation Development Corp      4.248   09/01/35   9,144,681 
 5,000,000  †,g,i,q  Oregon State Business Development Commission      6.500   04/01/31   3,429,050 
 2,500,000     Palm Beach County Solid Waste Authority      2.636   10/01/24   2,669,050 
 1,690,000     Port of Corpus Christi Authority of Nueces County      2.888   12/01/21   1,722,921 
 2,000,000     Port of Seattle WA      3.471   05/01/31   2,091,420 
 3,975,000     Public Finance Authority      4.269   07/01/40   4,478,593 
 860,000     Public Finance Authority      4.269   07/01/40   985,035 
 1,390,000     Regents of the University of California Medical Center Pooled Revenue      2.659   05/15/28   1,476,416 
 1,800,000     Regents of the University of California Medical Center Pooled Revenue      2.759   05/15/29   1,926,846 
 5,000,000     Rhode Island Convention Center Authority      3.195   05/15/26   5,220,250 
 3,750,000     Rhode Island Convention Center Authority      3.265   05/15/27   3,908,400 
 5,000,000     San Jose Redevelopment Agency      3.250   08/01/29   5,517,750 
 2,045,000     Sangamon County Water Reclamation District      3.272   01/01/37   2,081,319 
 2,100,000     State of Colorado      4.047   09/01/38   2,337,594 
 500,000     University of California      2.676   05/15/21   508,430 
 4,500,000     University of California      2.817   05/15/24   4,833,540 
 7,000,000     University of California      3.063   07/01/25   7,674,800 
 3,000,000     University of California      3.169   05/15/29   3,347,760 
 4,385,000     Virgin Islands Public Finance Authority      5.000   10/01/21   4,306,947 
 3,585,000  g  Virgin Islands Water & Power Authority-Electric System      7.000   07/01/20   3,585,000 
 2,740,000     Virginia Housing Development Authority      3.668   10/01/27   2,845,737 
 1,245,000     Wake Forest University      3.093   06/01/26   1,330,620 
       TOTAL MUNICIPAL BONDS              226,546,728 
                        
U.S. TREASURY SECURITIES - 5.6%                
 14,400,000     United States Treasury Bond      2.750   08/15/47   18,806,063 
 5,845,000     United States Treasury Bond      2.750   11/15/47   7,643,479 
 13,350,000     United States Treasury Bond      3.000   02/15/48   18,268,119 
 35,080,000     United States Treasury Bond      3.000   08/15/48   48,215,815 
 26,660,000     United States Treasury Bond      2.000   02/15/50   30,515,286 
 21,640,400  k  United States Treasury Inflation Indexed Bonds      0.125   04/15/21   21,763,432 
 10,544,900  k  United States Treasury Inflation Indexed Bonds      0.125   04/15/22   10,708,996 
259

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$10,324,300  k  United States Treasury Inflation Indexed Bonds      0.625%  04/15/23  $10,745,446 
 4,028,644  k  United States Treasury Inflation Indexed Bonds      0.500   01/15/28   4,414,920 
 10,000,000     United States Treasury Note      1.625   07/31/20   10,011,981 
 65,000,000     United States Treasury Note      2.625   08/15/20   65,196,286 
 5,000,000     United States Treasury Note      0.125   06/30/22   4,997,070 
 11,405,000     United States Treasury Note      0.250   06/15/23   11,429,058 
 20,325,000     United States Treasury Note      1.250   05/15/50   19,512,794 
       TOTAL U.S. TREASURY SECURITIES              282,228,745 
                        
       TOTAL GOVERNMENT BONDS              1,552,198,077 
       (Cost $1,481,696,847)                
                        
STRUCTURED ASSETS - 19.2%                
                        
ASSET BACKED - 7.3%                
 2,938,519  g  AASET Trust      4.335   01/16/40   1,558,178 
       Series - 2020 1A (Class B)                
 961,406  g  AASET Trust      6.413   01/16/40   357,212 
       Series - 2020 1A (Class C)                
 6,991,857  g  Adams Outdoor Advertising LP      4.810   11/15/48   7,107,577 
       Series - 2018 1 (Class A)                
 6,500,000  g  Adams Outdoor Advertising LP      7.356   11/15/48   6,324,000 
       Series - 2018 1 (Class C)                
 1,199,692     American Airlines Pass Through Trust      3.575   01/15/28   1,160,695 
       Series - 2016 1 (Class AA)                
 1,566,498  g  American Homes 4 Rent Trust      3.786   10/17/36   1,682,482 
       Series - 2014 SFR2 (Class A)                
 1,360,000  g  AMSR Trust      1.819   04/17/37   1,374,656 
       Series - 2020 SFR1 (Class A)                
 2,625,000  g,i  AMSR Trust      3.247   01/19/39   2,602,617 
       Series - 2019 SFR1 (Class D)                
 1,000,000  g,i  Apidos CLO XXIX  LIBOR 3 M + 1.550%   2.541   07/25/30   957,801 
       Series - 2018 29A (Class A2)                
 930,933  †,g  Apollo Aviation Securitization Equity Trust      6.413   01/16/38   372,373 
       Series - 2018 1A (Class C)                
 975,668  g  Apollo Aviation Securitization Equity Trust      3.844   05/15/39   881,574 
       Series - 2019 1 (Class A)                
 4,015,000  g  Applebee’s Funding LLC      4.194   06/07/49   3,558,615 
       Series - 2019 1A (Class A2I)                
 1,730,000  g  Applebee’s Funding LLC      4.723   06/07/49   1,488,475 
       Series - 2019 1A (Class A2II)                
 2,150,000  g,i  AREIT Trust  LIBOR 1 M + 1.020%   1.215   09/14/36   2,061,420 
       Series - 2019 CRE3 (Class A)                
 254,628  i  Asset Backed Securities Corp Home Equity Loan Trust  LIBOR 1 M + 0.900%   3.386   08/25/34   249,646 
       Series - 2004 HE5 (Class M1)                
 3,000,000  g  Avis Budget Rental Car Funding AESOP LLC      3.780   06/20/22   2,922,567 
       Series - 2016 1A (Class B)                
 5,000,000  g  Avis Budget Rental Car Funding AESOP LLC      3.360   11/20/22   4,848,578 
       Series - 2016 2A (Class B)                
 6,830,000  g  Avis Budget Rental Car Funding AESOP LLC      4.830   11/20/22   6,423,142 
       Series - 2016 2A (Class C)                
 1,500,000  g  Avis Budget Rental Car Funding AESOP LLC      4.150   09/20/23   1,397,001 
       Series - 2017 1A (Class C)                
260

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$8,500,000  g  Avis Budget Rental Car Funding AESOP LLC      2.970%  03/20/24  $8,527,486 
       Series - 2017 2A (Class A)                
 975,000  g  Avis Budget Rental Car Funding AESOP LLC      4.950   03/20/25   924,460 
       Series - 2018 2A (Class C)                
 1,910,000  g  Avis Budget Rental Car Funding AESOP LLC      4.240   09/22/25   1,793,151 
       Series - 2019 2A (Class C)                
 416,431  i  Bayview Financial Mortgage Pass-Through Trust      5.500   12/28/35   408,207 
       Series - 2005 D (Class AF4)                
 1,500,000  i  Bayview Financial Mortgage Pass-Through Trust  LIBOR 1 M + 0.975%   1.159   02/28/41   1,462,436 
       Series - 2006 A (Class M3)                
 100,000  i  Bear Stearns Asset Backed Securities Trust  LIBOR 1 M + 0.670%   0.855   04/25/36   98,449 
       Series - 2006 SD1 (Class M1)                
 3,258,210  g  BRE Grand Islander Timeshare Issuer LLC      3.280   09/26/33   3,242,840 
       Series - 2019 A (Class A)                
 4,745,081  g  Capital Automotive REIT      3.660   10/15/44   4,697,618 
       Series - 2014 1A (Class A)                
 4,705,189  g  Capital Automotive REIT      3.870   04/15/47   4,709,664 
       Series - 2017 1A (Class A1)                
 5,100,000  g  Capital Automotive REIT      4.520   02/15/50   4,635,415 
       Series - 2020 1A (Class B2)                
 2,400,000  †,g,h,i  Cayuga Park CLO, Ltd.  LIBOR 3 M + 2.100%   2.410   07/17/31   2,400,000 
       Series - 2020 1A (Class B1)                
 1,376,336  i  C-BASS Trust  LIBOR 1 M + 0.080%   0.265   07/25/36   1,268,118 
       Series - 2006 CB6 (Class A1)                
 6,451,318  †,g,i  CBRE Realty Finance  LIBOR 3 M + 0.300%   2.343   04/07/52   0 
       Series - 2007 1A (Class A2)                
 297,619  g  CCR, Inc      4.750   07/10/22   304,499 
       Series - 2012 CA (Class C)                
 23,073     Centex Home Equity      5.540   01/25/32   23,624 
       Series - 2002 A (Class AF6)                
 224,775  i  CF Mortgage Trust      2.840   04/15/52   227,654 
       Series - 2020 P1 (Class A1)                
 460,000  i  Citigroup Mortgage Loan Trust  LIBOR 1 M + 0.750%   0.935   01/25/36   451,712 
       Series - 2006 WFH1 (Class M4)                
 1,720,989  g  Corevest American Finance Trust      1.832   03/15/50   1,666,187 
       Series - 2020 1 (Class A1)                
 24,658     Countrywide Asset-Backed Certificates (Step Bond)      5.216   10/25/27   25,354 
       Series - 2002 S4 (Class A5)                
 950,000  g  CSMC Trust      3.196   07/10/34   969,677 
       Series - 2017 MOON (Class A)                
 4,887,500  g  DB Master Finance LLC      3.629   11/20/47   5,046,637 
       Series - 2017 1A (Class A2I)                
 10,197,938  g  DB Master Finance LLC      3.787   05/20/49   10,524,170 
       Series - 2019 1A (Class A2I)                
 4,451,363  g  DB Master Finance LLC      4.021   05/20/49   4,684,035 
       Series - 2019 1A (Class A2II)                
 3,225,625  g  DB Master Finance LLC      4.352   05/20/49   3,487,965 
       Series - 2019 1A (Class A23)                
 3,211,839  g  Diamond Resorts Owner Trust      3.700   01/21/31   3,275,581 
       Series - 2018 1 (Class A)                
 856,490  g  Diamond Resorts Owner Trust      5.900   01/21/31   794,596 
       Series - 2018 1 (Class D)                
 3,176,754  g  Diamond Resorts Owner Trust      2.890   02/20/32   3,190,641 
          Series - 2019 1A (Class A)                        
261

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$ 4,735,500   g   Domino’s Pizza Master Issuer LLC         4.474 %   10/25/45   $ 5,122,296  
       Series - 2015 1A (Class A2II)                
 1,876,875  g  Domino’s Pizza Master Issuer LLC      3.082   07/25/47   1,917,003 
       Series - 2017 1A (Class A2II)                
 4,875,000  g  Domino’s Pizza Master Issuer LLC      4.118   07/25/47   5,257,688 
       Series - 2017 1A (Class A23)                
 1,572,000  g  Domino’s Pizza Master Issuer LLC      4.116   07/25/48   1,673,457 
       Series - 2018 1A (Class A2I)                
 2,962,500  g  Driven Brands Funding LLC      4.641   04/20/49   3,134,266 
       Series - 2019 1A (Class A2)                
 3,000,000  †,g,h  Driven Brands Funding LLC      3.786   07/20/50   3,031,875 
       Series - 2020 1A (Class A2)                
 1,965,089  g,i  Ellington Loan Acquisition Trust  LIBOR 1 M + 1.100%   1.285   05/25/37   1,950,329 
       Series - 2007 2 (Class A2C)                
 4,100,000  g,i  Galaxy XIX CLO Ltd  LIBOR 3 M + 1.220%   1.530   07/24/30   4,017,912 
       Series - 2015 19A (Class A1R)                
 728,944  g  HERO Funding Trust      4.500   09/21/42   730,024 
       Series - 2016 1R (Class A1)                
 554,966  g  HERO Funding Trust      3.280   09/20/48   573,182 
       Series - 2017 2A (Class A1)                
 1,109,932  g  HERO Funding Trust      4.070   09/20/48   1,168,853 
       Series - 2017 2A (Class A2)                
 8,056,654  g  Hertz Vehicle Financing LLC      4.030   07/25/24   7,976,549 
       Series - 2018 3A (Class A)                
 1,080,675  g  Hilton Grand Vacations Trust      2.660   12/26/28   1,066,486 
       Series - 2017 AA (Class A)                
 1,801,124  g  Hilton Grand Vacations Trust      2.960   12/26/28   1,664,062 
       Series - 2017 AA (Class B)                
 1,512,017  g  Hilton Grand Vacations Trust      4.000   02/25/32   1,426,200 
       Series - 2018 AA (Class C)                
 4,406,971  g  Hilton Grand Vacations Trust      2.340   07/25/33   4,406,980 
       Series - 2019 AA (Class A)                
 3,819,375  g  Hilton Grand Vacations Trust      2.840   07/25/33   3,475,125 
       Series - 2019 AA (Class C)                
 59,133  i  Home Equity Asset Trust  LIBOR 1 M + 1.500%   3.986   06/25/33   58,084 
       Series - 2003 1 (Class M1)                
 2,362,725  g  Horizon Aircraft Finance II Ltd      3.721   07/15/39   2,078,304 
       Series - 2019 1 (Class A)                
 464,147  g  Horizon Aircraft Finance II Ltd      6.900   07/15/39   171,727 
       Series - 2019 1 (Class C)                
 8,489,583  g  Horizon Aircraft Finance III Ltd      3.425   11/15/39   7,340,437 
       Series - 2019 2 (Class A)                
 1,365,042  g,i  Invitation Homes Trust  LIBOR 1 M + 0.900%   1.085   06/17/37   1,347,734 
       Series - 2018 SFR2 (Class A)                
 200,000  g,i  Invitation Homes Trust  LIBOR 1 M + 1.450%   1.635   06/17/37   193,736 
       Series - 2018 SFR2 (Class D)                
 937,145  g,i  Invitation Homes Trust  LIBOR 1 M + 1.100%   1.294   01/17/38   935,091 
       Series - 2018 SFR4 (Class A)                
 773,786  i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.320%   0.505   03/25/37   741,138 
       Series - 2007 CH3 (Class A1B)                
 10,143,973  i  JP Morgan Mortgage Acquisition Trust  LIBOR 1 M + 0.160%   0.345   06/25/37   9,823,242 
       Series - 2007 CH5 (Class A1)                
 9,000,000  g,i  KKR Industrial Portfolio Trust  LIBOR 1 M + 1.037%   1.222   03/15/37   8,891,123 
          Series - 2020 AIP (Class A)                        
262

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$ 2,370,000   g,i   KKR Industrial Portfolio Trust   LIBOR 1 M + 1.633%     1.818 %   03/15/37   $ 2,298,813  
       Series - 2020 AIP (Class C)                
 3,650,000  g  LUNAR AIRCRAFT LTD      4.335   02/15/45   1,986,265 
       Series - 2020 1A (Class B)                
 1,415,476  g  LUNAR AIRCRAFT LTD      6.413   02/15/45   520,759 
       Series - 2020 1A (Class C)                
 475,527     MASTR Asset Backed Securities Trust (Step Bond)      5.648   11/25/35   476,265 
       Series - 2005 AB1 (Class A4)                
 952,243     Mid-State Capital Trust      5.745   01/15/40   1,024,140 
       Series - 2005 1 (Class A)                
 2,003,969  g  Mosaic Solar Loans LLC      3.820   06/22/43   2,062,346 
       Series - 2017 2A (Class A)                
 800,000  g,i  MSCG Trust      3.577   06/07/35   705,203 
       Series - 2015 ALDR (Class C)                
 4,310,000  g,i  MSCG Trust      3.577   06/07/35   3,231,175 
       Series - 2015 ALDR (Class D)                
 685,450  g  MVW Owner Trust      2.520   12/20/32   679,453 
       Series - 2015 1A (Class A)                
 948,254  g  MVW Owner Trust      2.640   12/20/33   924,204 
       Series - 2016 1A (Class B)                
 2,739,586  g  MVW Owner Trust      2.420   12/20/34   2,724,586 
       Series - 2017 1A (Class A)                
 2,257,481  g  MVW Owner Trust      3.900   01/21/36   2,163,580 
       Series - 2018 1A (Class C)                
 2,461,352  g  MVW Owner Trust      3.330   11/20/36   2,291,405 
       Series - 2019 1A (Class C)                
 1,180,000  g,i  Myers Park CLO Ltd  LIBOR 3 M + 1.600%   2.735   10/20/30   1,136,999 
       Series - 2018 1A (Class B1)                
 467,276     Oakwood Mortgage Investors, Inc      5.410   11/15/32   478,009 
       Series - 2002 C (Class A1)                
 2,500,000  g,h,i  Octagon Investment Partners 46 Ltd  LIBOR 3 M + 2.200%   2.510   07/15/33   2,500,000 
       Series - 2020 2A (Class B)                
 158,019  g,i  Orange Lake Timeshare Trust      3.030   07/09/29   157,645 
       Series - 2014 AA (Class B)                
 861,335  g  Orange Lake Timeshare Trust      3.100   11/08/30   867,136 
       Series - 2018 A (Class A)                
 3,136,744  g  Pioneer Aircraft Finance Ltd      3.967   06/15/44   2,696,662 
       Series - 2019 1 (Class A)                
 6,140,625  g  Planet Fitness Master Issuer LLC      4.262   09/05/48   6,167,398 
       Series - 2018 1A (Class A2I)                
 2,456,250  g  Planet Fitness Master Issuer LLC      4.666   09/05/48   2,378,854 
       Series - 2018 1A (Class A2II)                
 806,498  g,i  Pretium Mortgage Credit Partners I LLC (Step Bond)      3.844   12/27/58   800,860 
       Series - 2019 NPL2 (Class A1)                
 1,796,656  g  Progress Residential Trust      2.897   12/17/34   1,804,442 
       Series - 2017 SFR2 (Class A)                
 1,693,451  g,i  PRPM LLC (Step Bond)      3.967   04/25/24   1,706,404 
       Series - 2019 2A (Class A1)                
 740,000  i  RASC Trust  LIBOR 1 M + 0.590%   3.080   08/25/35   729,361 
       Series - 2005 KS8 (Class M4)                
 7,960,050  g  SERVPRO Master Issuer LLC      3.882   10/25/49   8,002,477 
          Series - 2019 1A (Class A2)                        
263

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$ 4,962,500   g   Sesac Finance LLC         5.216 %   07/25/49   $ 5,096,438  
       Series - 2019 1 (Class A2)                
 4,726,579  g  Settlement Fee Finance LLC      3.840   11/01/49   4,667,967 
       Series - 2019 1A (Class A)                
 868,223  g  Sierra Timeshare Receivables Funding LLC      2.580   09/20/32   866,266 
       Series - 2015 3A (Class A)                
 1,215,071  g  Sierra Timeshare Receivables Funding LLC      3.080   09/20/32   1,206,949 
       Series - 2015 3A (Class B)                
 664,443  g  Sierra Timeshare Receivables Funding LLC      2.330   07/20/33   664,235 
       Series - 2016 2A (Class A)                
 1,328,886  g  Sierra Timeshare Receivables Funding LLC      2.780   07/20/33   1,324,686 
       Series - 2016 2A (Class B)                
 1,882,719  g  Sierra Timeshare Receivables Funding LLC      3.200   03/20/34   1,794,400 
       Series - 2017 1A (Class B)                
 1,465,589  g  Sierra Timeshare Receivables Funding LLC      3.650   06/20/35   1,417,844 
       Series - 2018 2A (Class B)                
 775,744  g  Sierra Timeshare Receivables Funding LLC      4.540   05/20/36   734,440 
       Series - 2019 2A (Class D)                
 1,196,915  g  SoFi Professional Loan Program LLC      2.630   07/25/40   1,211,846 
       Series - 2017 C (Class A2B)                
 436,923  g  SolarCity LMC      4.800   11/20/38   419,054 
       Series - 2013 1 (Class A)                
 595,062  g  SolarCity LMC      4.590   04/20/44   580,864 
       Series - 2014 1 (Class A)                
 1,093,331  g  SolarCity LMC      4.020   07/20/44   1,081,966 
       Series - 2014 2 (Class A)                
 7,709,217  g  Sonic Capital LLC      3.845   01/20/50   8,080,107 
       Series - 2020 1A (Class A2I)                
 2,034,621  g  START Ireland      4.089   05/15/43   1,839,002 
       Series - 2018 1 (Class A)                
 3,299,808  g  START Ireland      5.095   03/15/44   1,653,836 
       Series - 2019 1 (Class B)                
 1,553,199  g  START Ireland      6.413   03/15/44   568,389 
       Series - 2019 1 (Class C)                
 1,456,604  g,i  Starwood Waypoint Homes  LIBOR 1 M + 0.950%   1.135   01/17/35   1,450,311 
       Series - 2017 1 (Class A)                
 6,596  i  Structured Asset Investment Loan Trust  LIBOR 1 M + 0.900%   1.085   09/25/34   6,239 
       Series - 2004 8 (Class M1)                
 23,636  i  Structured Asset Investment Loan Trust  LIBOR 1 M + 1.000%   1.185   09/25/34   22,983 
       Series - 2004 8 (Class A9)                
 869,818  i  Structured Asset Securities Corp Mortgage Loan Trust  LIBOR 1 M + 1.500%   1.673   04/25/35   840,378 
       Series - 2005 7XS (Class 2A1A)                
 945,750  g  Taco Bell Funding LLC      4.377   05/25/46   948,748 
       Series - 2016 1A (Class A2II)                
 7,832,750  g  Taco Bell Funding LLC      4.970   05/25/46   8,288,381 
       Series - 2016 1A (Class A23)                
 12,886,755  g  Taco Bell Funding LLC      4.318   11/25/48   13,160,985 
       Series - 2018 1A (Class A2I)                
 3,940,000  g  Taco Bell Funding LLC      4.940   11/25/48   4,257,958 
       Series - 2018 1A (Class A2II)                
 5,411,466  g  TES LLC      4.330   10/20/47   5,351,747 
       Series - 2017 1A (Class A)                
264

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$2,500,000  g  TES LLC      7.740%  10/20/47  $2,214,138 
       Series - 2017 1A (Class B)                
 5,475,000  g  Tesla Auto Lease Trust      2.130   04/20/22   5,536,355 
       Series - 2019 A (Class A2)                
 1,156,999  g  Thunderbolt Aircraft Lease Ltd      4.500   05/17/32   433,516 
       Series - 2017 A (Class C)                
 6,087,539  g  Thunderbolt Aircraft Lease Ltd (Step Bond)      4.212   05/17/32   5,480,638 
       Series - 2017 A (Class A)                
 2,500,000  g  Tricon American Homes Trust      4.878   11/17/33   2,497,314 
       Series - 2016 SFR1 (Class E)                
 1,535,476  g  Tricon American Homes Trust      2.716   09/17/34   1,563,246 
       Series - 2017 SFR1 (Class A)                
 1,600,000  g  Tricon American Homes Trust      4.011   09/17/34   1,604,206 
       Series - 2017 SFR1 (Class E)                
 400,000  g  Tricon American Homes Trust      3.275   01/17/36   413,514 
       Series - 2017 SFR2 (Class B)                
 4,665,133  h  United Airlines Pass Through Trust      3.700   03/01/30   3,719,618 
       Series - 2018 1 (Class )                
 4,750,000     United Airlines Pass Through Trust      2.700   05/01/32   4,288,643 
       Series - 2019 2 (Class )                
 1,500,000     Verizon Owner Trust      2.930   09/20/23   1,543,969 
       Series - 2019 A (Class A1A)                
 1,607,887  g,i  VOLT LXXV LLC (Step Bond)      3.967   02/25/49   1,615,275 
       Series - 2019 NPL2 (Class A1)                
 600,000  g,i  VOLT LXXV LLC (Step Bond)      3.967   10/25/49   577,675 
       Series - 2019 NPL7 (Class A1B)                
 2,350,000  g,i  VOLT LXXXIV LLC (Step Bond)      3.967   12/27/49   2,272,635 
       Series - 2019 NP10 (Class A1B)                
 10,115,625  g  Wendys Funding LLC      3.573   03/15/48   10,484,340 
       Series - 2018 1A (Class A2I)                
 7,800,000  g  Wendys Funding LLC      3.884   03/15/48   8,238,048 
       Series - 2018 1A (Class A2II)                
       TOTAL ASSET BACKED              366,875,278 
                        
OTHER MORTGAGE BACKED - 11.9%                
 702,638  g,i  Agate Bay Mortgage Trust      3.500   11/25/44   726,204 
       Series - 2014 3 (Class A13)                
 1,054,640  g,i  Agate Bay Mortgage Trust      3.500   09/25/45   1,091,035 
       Series - 2015 6 (Class A9)                
 45,869     Alternative Loan Trust      5.250   11/25/33   46,748 
       Series - 2003 J3 (Class 1A3)                
 320,809  i  Alternative Loan Trust  LIBOR 1 M + 0.500%   0.685   06/25/34   309,837 
       Series - 2004 8CB (Class M1)                
 1,218,103  i  American Home Mortgage Investment Trust  LIBOR 6 M + 1.500%   2.305   10/25/34   1,206,477 
       Series - 2004 3 (Class 4A)                
 540,000  i  Banc of America Commercial Mortgage Trust      4.505   09/15/48   506,398 
       Series - 2015 UBS7 (Class C)                
 10,700,000     Banc of America Commercial Mortgage Trust      3.019   07/15/49   11,221,627 
       Series - 2016 UB10 (Class ASB)                
 2,165,000     BANK      3.625   05/15/50   2,433,872 
       Series - 2017 BNK4 (Class A4)                
 41,910,730  i  BANK      0.997   10/17/52   2,575,494 
       Series - 2019 BN21 (Class XA)                
 25,091,317  i  BANK      0.817   12/15/52   1,378,695 
          Series - 2019 BN23 (Class XA)                        
265

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$ 1,000,000       BANK         3.203 %   12/15/52   $ 1,088,432  
       Series - 2019 BN23 (Class AS)                
 58,656,790  i  BANK      0.719   11/15/62   2,750,329 
       Series - 2019 BN22 (Class XA)                
 54,535,695  i  BANK      0.768   11/15/62   2,665,132 
       Series - 2019 BN24 (Class XA)                
 2,900,000  g  BANK      2.500   11/15/62   2,248,289 
       Series - 2019 BN24 (Class D)                
 8,625,000     BANK      2.929   11/15/62   9,433,733 
       Series - 2019 BN24 (Class ASB)                
 2,000,000  g  BANK      2.500   01/15/63   1,516,082 
       Series - 2020 BN25 (Class D)                
 1,100,000  g,i  Barclays Commercial Mortgage Securities LLC      4.427   09/10/28   1,095,670 
       Series - 2015 STP (Class D)                
 5,000,000  g,i  BBCMS Mortgage Trust      4.409   08/05/38   3,397,857 
       Series - 2018 CHRS (Class E)                
 58,957,577  i  BBCMS Trust      1.060   02/15/53   4,601,904 
       Series - 2020 C6 (Class XA)                
 899,019  i  Bear Stearns Commercial Mortgage Securities Trust      5.117   02/11/41   892,716 
       Series - 2005 PWR7 (Class B)                
 1,360,082  i  Bear Stearns Commercial Mortgage Securities Trust      5.143   09/11/42   1,359,635 
       Series - 2005 PWR9 (Class E)                
 2,800,000  g,i  Benchmark Mortgage Trust      3.229   09/15/48   3,038,610 
       Series - 2020 IG3 (Class AS)                
 5,000,000  i  Benchmark Mortgage Trust      3.654   09/15/48   5,220,872 
       Series - 2020 IG3 (Class BXA)                
 1,100,000     Benchmark Mortgage Trust      4.267   03/15/52   1,260,426 
       Series - 2019 B9 (Class AS)                
 1,100,000     Benchmark Mortgage Trust      3.419   08/15/52   1,203,764 
       Series - 2019 B12 (Class AS)                
 13,996,618  g,i  BX Commercial Mortgage Trust  LIBOR 1 M + 0.920%   1.105   10/15/36   13,913,682 
       Series - 2019 XL (Class A)                
 3,821,602  g,i  BX Commercial Mortgage Trust  LIBOR 1 M + 1.250%   1.435   10/15/36   3,735,504 
       Series - 2019 XL (Class C)                
 3,821,602  g,i  BX Commercial Mortgage Trust  LIBOR 1 M + 1.800%   1.985   10/15/36   3,697,252 
       Series - 2019 XL (Class E)                
 4,500,000     CD Mortgage Trust      2.622   08/10/49   4,668,259 
       Series - 2016 CD1 (Class ASB)                
 1,000,000  i  CD Mortgage Trust      4.159   11/10/49   903,342 
       Series - 2016 CD2 (Class C)                
 1,400,000  i  CD Mortgage Trust      4.712   02/10/50   1,308,105 
       Series - 2017 CD3 (Class C)                
 10,000,000  i  CF Mortgage Trust      3.603   04/15/52   10,065,854 
       Series - 2020 P1 (Class A2)                
 4,250,000  g,i  CF Mortgage Trust      10.010   04/15/52   4,253,516 
       Series - 2020 P1 (Class B)                
 5,000,000  i  CFCRE Commercial Mortgage Trust      3.502   11/10/49   5,243,589 
       Series - 2016 C6 (Class AM)                
 210,571     Citicorp Mortgage Securities, Inc      5.500   07/25/35   212,460 
       Series - 2005 4 (Class 1A7)                
 1,500,000  g  Citigroup Commercial Mortgage Trust      4.350   05/10/36   1,517,478 
          Series - 2019 PRM (Class D)                        
266

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$ 1,900,000       Citigroup Commercial Mortgage Trust         4.023 %   03/10/47   $ 2,052,613  
       Series - 2014 GC19 (Class A4)                
 2,600,000  i  Citigroup Commercial Mortgage Trust      3.758   04/10/48   2,697,605 
       Series - 2015 GC29 (Class B)                
 900,000  i  Citigroup Commercial Mortgage Trust      4.296   04/10/48   866,719 
       Series - 2015 GC29 (Class C)                
 1,000,000     Citigroup Commercial Mortgage Trust      4.233   04/10/49   1,034,634 
       Series - 2016 GC37 (Class B)                
 57,946,214  i  Citigroup Commercial Mortgage Trust      0.750   11/10/52   2,641,299 
       Series - 2019 GC43 (Class XA)                
 3,127,000  i  Citigroup Commercial Mortgage Trust      3.742   11/10/52   2,597,450 
       Series - 2019 GC43 (Class C)                
 52,566,549  i  Citigroup Commercial Mortgage Trust      1.109   02/15/53   3,701,432 
       Series - 2020 GC46 (Class XA)                
 1,020,000     Citigroup Commercial Mortgage Trust      3.018   08/10/56   1,060,581 
       Series - 2019 GC41 (Class AS)                
 364,403  i  COBALT CMBS Commercial Mortgage Trust      5.646   04/15/47   362,664 
       Series - 2007 C2 (Class C)                
 20,000,000  g  COMM Mortgage Trust      2.841   08/15/45   20,363,288 
       Series - 2012 CR2 (Class A3)                
 1,900,000     COMM Mortgage Trust      3.101   03/10/46   1,949,060 
       Series - 2013 CR6 (Class A4)                
 1,000,000  i  COMM Mortgage Trust      4.210   08/10/46   1,082,126 
       Series - 2013 CR10 (Class A4)                
 3,000,000  g,i  COMM Mortgage Trust      5.463   08/10/46   2,611,323 
       Series - 2013 LC13 (Class D)                
 5,000,000     COMM Mortgage Trust      4.199   03/10/47   5,351,526 
       Series - 2014 UBS2 (Class AM)                
 3,092,577  i  COMM Mortgage Trust      5.137   03/10/47   2,950,279 
       Series - 2014 UBS2 (Class C)                
 1,120,000     COMM Mortgage Trust      4.174   05/10/47   1,187,594 
       Series - 2014 CR17 (Class AM)                
 5,000,000     COMM Mortgage Trust      3.828   07/15/47   5,439,421 
       Series - 2014 CR18 (Class A5)                
 2,452,500  i  COMM Mortgage Trust      4.456   07/15/47   2,479,164 
       Series - 2014 CR18 (Class B)                
 1,050,000     COMM Mortgage Trust      3.796   08/10/47   1,143,418 
       Series - 2014 CR19 (Class A5)                
 2,800,000  i  COMM Mortgage Trust      4.703   08/10/47   2,898,840 
       Series - 2014 CR19 (Class B)                
 1,500,000  g,i  COMM Mortgage Trust      4.888   08/10/47   938,382 
       Series - 2014 CR19 (Class D)                
 1,700,000     COMM Mortgage Trust      3.917   10/10/47   1,860,677 
       Series - 2014 LC17 (Class A5)                
 3,000,000  i  COMM Mortgage Trust      4.188   10/10/47   3,264,483 
       Series - 2014 LC17 (Class AM)                
 2,500,000  g  COMM Mortgage Trust      3.000   03/10/48   1,526,768 
       Series - 2015 CR22 (Class E)                
 2,600,000  g,i  COMM Mortgage Trust      4.244   03/10/48   2,040,774 
       Series - 2015 CR22 (Class D)                
 3,340,500  i  COMM Mortgage Trust      4.244   03/10/48   3,335,176 
       Series - 2015 CR22 (Class C)                
 1,000,000     COMM Mortgage Trust      3.801   05/10/48   1,078,518 
          Series - 2015 CR23 (Class AM)                        
267

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$ 4,000,000   i   COMM Mortgage Trust         4.435 %   05/10/48   $ 3,380,470  
       Series - 2015 CR23 (Class D)                
 2,500,000  i  COMM Mortgage Trust      3.463   08/10/48   1,874,339 
       Series - 2015 CR24 (Class D)                
 5,250,000  i  COMM Mortgage Trust      4.523   08/10/48   5,448,207 
       Series - 2015 CR24 (Class B)                
 2,500,000  i  COMM Mortgage Trust      4.523   08/10/48   2,352,133 
       Series - 2015 CR24 (Class C)                
 3,175,000  i  COMM Mortgage Trust      4.630   10/10/48   3,121,368 
       Series - 2015 CR26 (Class C)                
 4,000,000     COMM Mortgage Trust      2.972   10/10/49   4,215,027 
       Series - 2016 COR1 (Class ASB)                
 5,000,000     COMM Mortgage Trust      4.181   05/10/51   5,654,648 
       Series - 2018 COR3 (Class ASB)                
 3,702,342  i  Commercial Mortgage Load Trust      5.983   12/10/49   1,625,985 
       Series - 2008 LS1 (Class AM)                
 1,228,291  i  Connecticut Avenue Securities  LIBOR 1 M + 2.600%   2.785   05/25/24   1,074,122 
       Series - 2014 C02 (Class 1M2)                
 11,841,104  i  Connecticut Avenue Securities  LIBOR 1 M + 3.000%   3.185   07/25/24   10,368,603 
       Series - 2014 C03 (Class 1M2)                
 1,226,252  i  Connecticut Avenue Securities  LIBOR 1 M + 5.000%   5.185   11/25/24   1,259,709 
       Series - 2014 C04 (Class 2M2)                
 363,877  i  Connecticut Avenue Securities  LIBOR 1 M + 5.550%   5.735   04/25/28   385,319 
       Series - 2015 C04 (Class 2M2)                
 599,651  i  Connecticut Avenue Securities  LIBOR 1 M + 5.700%   5.885   04/25/28   630,193 
       Series - 2015 C04 (Class 1M2)                
 772,654  i  Connecticut Avenue Securities  LIBOR 1 M + 6.750%   6.935   08/25/28   809,679 
       Series - 2016 C01 (Class 1M2)                
 2,544,854  i  Connecticut Avenue Securities  LIBOR 1 M + 6.950%   7.135   08/25/28   2,686,403 
       Series - 2016 C01 (Class 2M2)                
 931,145  i  Connecticut Avenue Securities  LIBOR 1 M + 6.000%   6.185   09/25/28   965,566 
       Series - 2016 C02 (Class 1M2)                
 6,053,368  i  Connecticut Avenue Securities  LIBOR 1 M + 5.900%   6.085   10/25/28   6,292,291 
       Series - 2016 C03 (Class 2M2)                
 1,195,000  i  Connecticut Avenue Securities  LIBOR 1 M + 4.450%   4.635   01/25/29   1,182,169 
       Series - 2016 C05 (Class 2M2B)                
 2,142,876  i  Connecticut Avenue Securities  LIBOR 1 M + 4.450%   4.635   01/25/29   2,189,610 
       Series - 2016 C05 (Class 2M2)                
 928,123  i  Connecticut Avenue Securities  LIBOR 1 M + 4.250%   4.435   04/25/29   969,411 
       Series - 2016 C06 (Class 1M2)                
 1,550,339  i  Connecticut Avenue Securities  LIBOR 1 M + 2.200%   2.385   01/25/30   1,556,723 
       Series - 2017 C05 (Class 1M2A)                
 1,152,192  i  Connecticut Avenue Securities  LIBOR 1 M + 0.900%   1.085   08/25/30   1,102,149 
       Series - 2018 C02 (Class 2EA2)                
 3,412,016  i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   1.035   10/25/30   3,360,352 
       Series - 2018 C03 (Class 1EA2)                
 1,597,078  i  Connecticut Avenue Securities  LIBOR 1 M + 2.550%   2.735   12/25/30   1,571,619 
       Series - 2018 C04 (Class 2M2)                
 138,753  g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.450%   2.635   07/25/31   135,362 
       Series - 2019 R01 (Class 2M2)                
 440,000  g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.000%   2.185   01/25/40   416,549 
       Series - 2020 R02 (Class 2M2)                
 479,078  i  Countrywide Alternative Loan Trust  LIBOR 1 M + 0.230%   0.420   07/20/35   447,371 
          Series - 2005 24 (Class 4A1)                        
268

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$ 485,774   i   Countrywide Home Loan Mortgage Pass Through Trust         3.885 %  11/20/34   $ 471,776  
       Series - 2004 HYB6 (Class A2)                
 47,291     Countrywide Home Loan Mortgage Pass Through Trust      5.250   09/25/35   41,434 
       Series - 2005 17 (Class 1A10)                
 5,750,000  g,i  CPT Mortgage Trust      3.097   11/13/39   5,179,928 
       Series - 2019 CPT (Class E)                
 1,100,000  g,i  Credit Suisse Commercial Mortgage Trust  LIBOR 1 M + 0.650%   0.835   05/25/36   1,080,972 
       Series - 2006 CF2 (Class M3)                
 10,462,622  g,i  Credit Suisse Commercial Mortgage Trust      3.500   02/25/48   10,825,417 
       Series - 2018 J1 (Class A11)                
 1,437,154  i  Credit Suisse First Boston Mortgage Securities Corp      6.158   04/25/33   1,452,511 
       Series - 2003 8 (Class DB1)                
 5,065,000     DBJPM      3.539   05/10/49   5,307,828 
       Series - 2016 C1 (Class AM)                
 2,083,000  g,i  DBUBS Mortgage Trust      5.513   08/10/44   2,124,318 
       Series - 2011 LC3A (Class B)                
 2,000,000  g,i  Ellington Financial Mortgage Trust      3.587   06/25/59   1,892,813 
       Series - 2019 1 (Class M1)                
 1,019,495  i  Fieldstone Mortgage Investment Trust  LIBOR 1 M + 0.735%   0.920   12/25/35   1,007,219 
       Series - 2005 2 (Class M2)                
 9,537,854  g,i  FirstKey Mortgage Trust      3.500   11/25/44   9,815,539 
       Series - 2014 1 (Class A8)                
 2,248,128  g,i  Flagstar Mortgage Trust      3.500   03/25/47   2,282,962 
       Series - 2017 1 (Class 1A5)                
 52,243  g,i  Flagstar Mortgage Trust      3.500   10/25/47   52,888 
       Series - 2017 2 (Class A5)                
 944,336  g,i  Flagstar Mortgage Trust      4.111   10/25/47   945,754 
       Series - 2017 2 (Class B3)                
 178,222  g,i  Flagstar Mortgage Trust      4.000   07/25/48   178,530 
       Series - 2018 4 (Class A4)                
 611,350  g,i  Flagstar Mortgage Trust      4.000   09/25/48   624,774 
       Series - 2018 5 (Class A11)                
 2,864,000  †,i  GE Capital Commercial Mortgage Corp      5.941   11/10/45   630,080 
       Series - 2005 C4 (Class B)                
 14,346,000  i  GS Mortgage Securities Corp II      3.978   03/10/51   15,954,405 
       Series - 2018 GS9 (Class AAB)                
 1,258,000  g,i  GS Mortgage Securities Trust      3.668   07/10/52   1,286,204 
       Series - 2019 GC40 (Class DBC)                
 827,130  g,i  GS Mortgage-Backed Securities Corp Trust      4.000   08/25/49   844,633 
       Series - 2019 PJ1 (Class A4)                
 640,854  g,i  GS Mortgage-Backed Securities Corp Trust      4.000   11/25/49   657,648 
       Series - 2019 PJ2 (Class A1)                
 1,673,872  g,i  GS Mortgage-Backed Securities Corp Trust      4.000   11/25/49   1,710,988 
       Series - 2019 PJ2 (Class A4)                
 303,435  g  GSMPS Mortgage Loan Trust      7.500   03/25/35   317,244 
       Series - 2005 RP2 (Class 1A2)                
 294,942  g  GSMPS Mortgage Loan Trust      7.500   09/25/35   305,595 
       Series - 2005 RP3 (Class 1A2)                
 422,035     GSR Mortgage Loan Trust      6.000   01/25/35   432,256 
       Series - 2005 1F (Class 3A3)                
269

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$2,182,155  i  HarborView Mortgage Loan Trust  LIBOR 1 M + 0.620%   0.814%  08/19/45  $2,041,463 
       Series - 2005 11 (Class 2A1A)                
 4,000,000  g,i  Hudson Yards Mortgage Trust      3.558   07/10/39   4,005,715 
       Series - 2019 30HY (Class D)                
 2,000,000  g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   1,918,502 
       Series - 2019 55HY (Class D)                
 3,500,000  g,i  Hudson Yards Mortgage Trust      3.041   12/10/41   3,064,160 
       Series - 2019 55HY (Class F)                
 113,311  i  Impac CMB Trust  LIBOR 1 M + 0.660%   0.845   03/25/35   106,993 
       Series - 2004 11 (Class 2A1)                
 69,864  i  JP Morgan Alternative Loan Trust  LIBOR 1 M + 0.280%   0.465   04/25/47   64,672 
       Series - 2007 S1 (Class A1)                
 1,700,000  g,i  JP Morgan Chase Commercial Mortgage Securities Corp      4.214   01/15/46   1,651,018 
       Series - 2013 C13 (Class D)                
 310,000  g,i  JP Morgan Chase Commercial Mortgage Securities Corp      5.526   07/15/46   309,742 
       Series - 2011 C4 (Class C)                
 1,719,000  i  JP Morgan Chase Commercial Mortgage Securities Corp      4.119   01/15/49   1,849,651 
       Series - 2015 JP1 (Class AS)                
 10,000,000     JP Morgan Chase Commercial Mortgage Securities Corp      2.713   08/15/49   10,374,982 
       Series - 2016 JP2 (Class ASB)                
 2,140,000     JP Morgan Chase Commercial Mortgage Securities Corp      2.822   08/15/49   2,278,154 
       Series - 2016 JP2 (Class A4)                
 2,365,000     JP Morgan Chase Commercial Mortgage Securities Corp      3.723   03/15/50   2,660,636 
       Series - 2017 JP5 (Class A5)                
 5,000,000     JP Morgan Chase Commercial Mortgage Securities Corp      3.379   09/15/50   5,303,319 
       Series - 2017 JP7 (Class A3)                
 558,921  i  JP Morgan Mortgage Trust      4.098   11/25/33   553,898 
       Series - 2006 A2 (Class 5A3)                
 1,666,658  g,i  JP Morgan Mortgage Trust  LIBOR 1 M - –%   2.241   12/25/44   1,610,544 
       Series - 2015 1 (Class B1)                
 334,815  g,i  JP Morgan Mortgage Trust      3.500   05/25/45   343,748 
       Series - 2015 3 (Class A19)                
 1,219,133  g,i  JP Morgan Mortgage Trust      3.500   10/25/45   1,260,049 
       Series - 2015 6 (Class A13)                
 720,143  g,i  JP Morgan Mortgage Trust      3.500   05/25/46   744,822 
       Series - 2016 1 (Class A13)                
 5,971,229  g,i  JP Morgan Mortgage Trust      3.500   01/25/47   6,166,494 
       Series - 2017 1 (Class A3)                
 900,421  g,i  JP Morgan Mortgage Trust      3.500   05/25/47   914,222 
       Series - 2017 2 (Class A5)                
 876,786  g,i  JP Morgan Mortgage Trust      3.500   05/25/47   907,745 
       Series - 2017 2 (Class A13)                
 896,403  g,i  JP Morgan Mortgage Trust      3.500   08/25/47   907,043 
       Series - 2017 3 (Class 1A5)                
 579,494  g,i  JP Morgan Mortgage Trust      3.500   09/25/48   600,986 
       Series - 2018 3 (Class A13)                
 187,079  g,i  JP Morgan Mortgage Trust      3.500   10/25/48   190,517 
          Series - 2018 4 (Class A13)                        
270

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$ 769,209   g,i   JP Morgan Mortgage Trust         3.500 %   10/25/48   $ 788,849  
       Series - 2018 5 (Class A13)                
 871,093  g,i  JP Morgan Mortgage Trust      4.000   01/25/49   879,404 
       Series - 2018 8 (Class A5)                
 911,539  g,i  JP Morgan Mortgage Trust      4.000   01/25/49   931,881 
       Series - 2018 8 (Class A13)                
 1,067,749  g,i  JP Morgan Mortgage Trust      4.000   02/25/49   1,091,564 
       Series - 2018 9 (Class A13)                
 447,502  g,i  JP Morgan Mortgage Trust      4.000   05/25/49   461,014 
       Series - 2019 1 (Class A3)                
 2,048,029  g,i  JP Morgan Mortgage Trust      4.000   05/25/49   2,093,069 
       Series - 2019 1 (Class A15)                
 73,812  g,i  JP Morgan Mortgage Trust      4.000   08/25/49   74,228 
       Series - 2019 2 (Class A4)                
  851,690   g,i  JP Morgan Mortgage Trust      4.757   09/25/49   902,055 
       Series - 2019 3 (Class B1)                
 2,553,863  g,i  JP Morgan Mortgage Trust      3.883   06/25/50   2,438,395 
       Series - 2020 1 (Class B2)                
 844,271     JPMBB Commercial Mortgage Securities Trust      3.657   09/15/47   882,287 
       Series - 2014 C23 (Class ASB)                
 5,000,000     JPMBB Commercial Mortgage Securities Trust      3.634   02/15/48   5,228,369 
       Series - 2015 C27 (Class AS)                
 1,000,000  i  JPMBB Commercial Mortgage Securities Trust      4.445   02/15/48   914,086 
       Series - 2015 C27 (Class C)                
 1,000,000  i  JPMBB Commercial Mortgage Securities Trust      4.773   08/15/48   1,055,885 
       Series - 2015 C31 (Class B)                
 4,300,000     JPMBB Commercial Mortgage Securities Trust      3.227   10/15/48   4,601,504 
       Series - 2015 C28 (Class A4)                
 5,000,000     JPMDB Commercial Mortgage Securities Trust      2.536   05/13/53   5,168,068 
       Series - 2020 COR7 (Class AS)                
 10,000,000  g  Liberty Street Trust      3.597   02/10/36   10,860,767 
       Series - 2016 225L (Class A)                
 385,456     Master Alternative Loan Trust      7.000   01/25/34   416,261 
       Series - 2004 1 (Class 3A1)                
 2,377,420  g  Morgan Stanley Bank of America Merrill Lynch Trust      4.384   12/15/46   2,428,582 
       Series - 2014 C19 (Class LNC2)                
 12,304,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.249   02/15/48   13,060,714 
       Series - 2015 C20 (Class A4)                
 1,185,000     Morgan Stanley Bank of America Merrill Lynch Trust      4.160   02/15/48   1,210,283 
       Series - 2015 C20 (Class B)                
 850,782     Morgan Stanley Bank of America Merrill Lynch Trust      3.338   03/15/48   904,181 
       Series - 2015 C21 (Class A4)                
 2,500,000     Morgan Stanley Bank of America Merrill Lynch Trust      3.306   04/15/48   2,666,596 
       Series - 2015 C22 (Class A4)                
 631,965  i  Morgan Stanley Capital I Trust  LIBOR 1 M + 0.825%   1.010   08/25/34   623,643 
       Series - 2004 HE6 (Class M1)                
 2,289,798  i  Morgan Stanley Capital I Trust  LIBOR 1 M + 0.705%   0.890   02/25/35   2,251,675 
       Series - 2005 WMC2 (Class M3)                
271

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$1,000,000  g,i  Morgan Stanley Capital I Trust      5.684%  09/15/47  $992,729 
       Series - 2011 C1 (Class D)                
 2,000,000  i  Morgan Stanley Capital I Trust      3.779   05/15/48   2,205,492 
       Series - 2015 MS1 (Class A4)                
 10,000,000     Morgan Stanley Capital I Trust      2.606   08/15/49   10,375,564 
       Series - 2016 UB11 (Class ASB)                
 262,623  †,i  Morgan Stanley Capital I Trust      6.461   12/12/49   156,524 
       Series - 2007 IQ16 (Class AJFX)                
 300,000     Morgan Stanley Capital I Trust      3.587   12/15/50   337,280 
       Series - 2017 HR2 (Class A4)                
 2,000,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 0.784%   0.968   07/15/33   1,945,193 
       Series - 2018 850T (Class A)                
 10,000,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 1.500%   1.685   07/15/36   9,799,861 
       Series - 2019 MILE (Class A)                
 3,000,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 3.500%   3.685   07/15/36   2,759,845 
       Series - 2019 MILE (Class E)                
 5,280,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 4.250%   4.435   07/15/36   4,758,269 
       Series - 2019 MILE (Class F)                
 10,000,000  g  Natixis Commercial Mortgage Securities Trust      3.305   10/15/36   9,633,522 
       Series - 2019 1776 (Class D)                
 2,000,000  g  Natixis Commercial Mortgage Securities Trust      3.902   10/15/36   1,903,325 
       Series - 2019 1776 (Class E)                
 160,996  g,i  New Residential Mortgage Loan Trust      4.000   02/25/57   172,140 
       Series - 2017 1A (Class A1)                
 1,013,050  g,i  New Residential Mortgage Loan Trust      4.000   08/27/57   1,080,290 
       Series - 2017 6A (Class A1)                
 316,830  i  New York Mortgage Trust  LIBOR 1 M + 0.480%   0.665   02/25/36   304,161 
       Series - 2005 3 (Class A1)                
 5,700,000  g  One Bryant Park Trust      2.516   09/15/54   6,030,459 
       Series - 2019 OBP (Class A)                
 640,730  g,i  Sequoia Mortgage Trust      3.500   05/25/45   660,847 
       Series - 2015 2 (Class A1)                
 771,796  g,i  Sequoia Mortgage Trust      3.500   06/25/46   798,491 
       Series - 2016 1 (Class A19)                
 3,715,955  g,i  Sequoia Mortgage Trust      3.500   11/25/46   3,797,460 
       Series - 2016 3 (Class A10)                
 2,866,333  g,i  Sequoia Mortgage Trust      3.500   02/25/47   2,939,103 
       Series - 2017 1 (Class A4)                
 2,511,588  g,i  Sequoia Mortgage Trust      3.500   02/25/47   2,600,696 
       Series - 2017 2 (Class A19)                
 2,291,561  g,i  Sequoia Mortgage Trust      3.500   04/25/47   2,372,590 
       Series - 2017 3 (Class A19)                
 6,781,201  g,i  Sequoia Mortgage Trust      3.500   04/25/47   6,879,711 
       Series - 2017 3 (Class A4)                
 1,284,906  g,i  Sequoia Mortgage Trust      3.743   09/25/47   1,319,060 
       Series - 2017 6 (Class B1)                
 3,847,311  g,i  Sequoia Mortgage Trust      3.500   02/25/48   3,984,463 
       Series - 2018 2 (Class A19)                
 1,183,291  g,i  Sequoia Mortgage Trust      3.500   02/25/48   1,216,030 
       Series - 2018 2 (Class A1)                
 1,729,568  g,i  Sequoia Mortgage Trust      3.500   03/25/48   1,777,344 
       Series - 2018 3 (Class A1)                
 803,531  g,i  Sequoia Mortgage Trust      3.500   03/25/48   817,241 
       Series - 2018 3 (Class A4)                
272

TIAA-CREF FUNDS – Core Plus Bond Fund

 

         REFERENCE      MATURITY    
PRINCIPAL     ISSUER  RATE & SPREAD  RATE   DATE  VALUE 
$838,402  g,i  Sequoia Mortgage Trust      4.000%  09/25/48  $844,500 
       Series - 2018 7 (Class A4)                
 228,355  g,i  Sequoia Mortgage Trust      4.000   09/25/48   233,451 
       Series - 2018 7 (Class A19)                
 123,130  g,i  Sequoia Mortgage Trust      4.000   11/25/48   125,531 
       Series - 2018 8 (Class A19)                
 2,747,076  g,i  Sequoia Mortgage Trust      4.000   06/25/49   2,820,458 
       Series - 2019 2 (Class A1)                
 788,936  g,i  Sequoia Mortgage Trust      4.000   06/25/49   805,198 
       Series - 2019 2 (Class A19)                
 3,389,182  g,i  Sequoia Mortgage Trust      3.500   11/25/49   3,483,902 
       Series - 2019 4 (Class A1)                
 5,300,234  g,i  Sequoia Mortgage Trust      3.500   12/25/49   5,448,776 
       Series - 2019 5 (Class A1)                
 2,981,382  g,i  Sequoia Mortgage Trust      3.500   12/25/49   3,089,347 
       Series - 2019 5 (Class A19)                
 5,074,300  g,i  Sequoia Mortgage Trust      3.000   04/25/50   5,308,359 
       Series - 2020 3 (Class A19)                
 492,995  g,i  Shellpoint Co-Originator Trust      3.500   11/25/46   502,695 
       Series - 2016 1 (Class 1A10)                
 2,423,174  g,i  Shellpoint Co-Originator Trust      3.500   04/25/47   2,463,317 
       Series - 2017 1 (Class A4)                
 2,498,485  g,i  Shellpoint Co-Originator Trust      3.500   10/25/47   2,556,406 
       Series - 2017 2 (Class A1)                
 961,293  g,i  Shellpoint Co-Originator Trust      3.500   10/25/47   979,478 
       Series - 2017 2 (Class A4)                
 125,380  i  Structured Adjustable Rate Mortgage Loan Trust  LIBOR 1 M + 0.340%   0.525   08/25/35   124,878 
       Series - 2005 16XS (Class A1)                
 280,740  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 4.150%   4.335   01/25/25   284,936 
       Series - 2015 DN1 (Class M3)                
 2,422,999  i  STACR  LIBOR 1 M + 4.650%   4.835   10/25/28   2,522,132 
       Series - 2016 DNA2 (Class M3)                
 2,215,000  i  STACR  LIBOR 1 M + 3.250%   3.435   07/25/29   2,234,346 
       Series - 2017 DNA1 (Class M2)                
 82,687  i  STACR  LIBOR 1 M + 1.200%   1.385   10/25/29   82,759 
       Series - 2017 DNA2 (Class M1)                
 2,556,182  i  STACR  LIBOR 1 M + 0.950%   1.135   04/25/30   2,551,637 
       Series - 2017 HQA3 (Class M2AS)                
 185,342  i  STACR  LIBOR 1 M + 2.350%   2.535   04/25/30   184,660 
       Series - HQA3 (Class M2)                
 308,603  g,i  STACR      3.726   02/25/48   308,621 
       Series - 2018 SPI1 (Class M1)                
 190,911  g,i  STACR      3.809   05/25/48   190,600 
       Series - 2018 SPI2 (Class M1)                
 2,141,610  g,i  STACR      4.466   11/25/48   2,112,999 
       Series - 2018 SPI4 (Class M2)                
 5,010,000  g,i  STACR  LIBOR 1 M + 1.850%   2.035   02/25/50   4,750,003 
       Series - 2020 DNA2 (Class M2)                
 4,000,000  g,i  STACR  LIBOR 1 M + 3.100%   3.285   03/25/50   3,829,726 
       Series - 2020 HQA2 (Class M2)                
 3,000,000     UBS-Barclays Commercial Mortgage Trust      2.850   12/10/45   3,086,761 
       Series - 2012 C4 (Class A5)                
 755,000  g,i  UBSBB      4.235   03/10/46   694,970 
          Series - 2013 C5 (Class C)                        
273

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
PRINCIPAL     ISSUER     RATE   DATE  VALUE 
$ 655,920   g,i   Verus Securitization Trust         4.108 %   10/25/58   $ 670,833  
       Series - 2018 3 (Class A1)                
 1,946,078  g  VSE VOI Mortgage LLC      4.020   02/20/36   1,880,641 
       Series - 2018 A (Class C)                
 1,745,464  i  Wachovia Bank Commercial Mortgage Trust      5.748   04/15/47   1,702,270 
       Series - 2007 C31 (Class F)                
 607,894  i  Wachovia Mortgage Loan Trust      4.039   10/20/35   577,480 
       Series - 2005 B (Class 1A1)                
 15,389  i  Washington Mutual Mortgage Pass-Through Certificates Trust      6.027   08/25/38   15,960 
       Series - 2004 RA3 (Class 2A)                
 3,175,000     Wells Fargo Commercial Mortgage Trust      3.540   05/15/48   3,457,966 
       Series - 2015 C28 (Class A4)                
 2,000,000  i  Wells Fargo Commercial Mortgage Trust      4.296   05/15/48   1,554,948 
       Series - 2015 NXS1 (Class D)                
 2,650,000     Wells Fargo Commercial Mortgage Trust      3.637   06/15/48   2,886,699 
       Series - 2015 C29 (Class A4)                
 4,950,000  i  Wells Fargo Commercial Mortgage Trust      3.767   07/15/58   5,349,876 
       Series - 2015 NXS2 (Class A5)                
 1,374,442  g,i  Wells Fargo Mortgage Backed Securities Trust      4.000   04/25/49   1,415,977 
       Series - 2019 2 (Class A17)                
 157,456  g  WFRBS Commercial Mortgage Trust      4.375   03/15/44   159,041 
       Series - 2011 C3 (Class A4)                
 9,027,000     WFRBS Commercial Mortgage Trust      3.607   11/15/47   9,700,150 
       Series - 2014 C24 (Class A5)                
 2,000,000     WF-RBS Commercial Mortgage Trust      3.337   06/15/46   2,101,552 
       Series - 2013 C14 (Class A5)                
       TOTAL OTHER MORTGAGE BACKED              598,277,750 
                        
       TOTAL STRUCTURED ASSETS              965,153,028 
       (Cost $980,344,646)                
                        
       TOTAL BONDS              4,632,477,276 
       (Cost $4,469,411,027)                
                        
SHARES     COMPANY              
COMMON STOCKS - 0.0%                
                        
ENERGY - 0.0%                
 38,800     Peabody Energy Corp              111,744 
 84,437  *  Tidewater, Inc              472,003 
       TOTAL ENERGY              583,747 
                        
RETAILING - 0.0%                
 1,108  *,†  FullBeauty Brands Holdings Corp              1,108 
       TOTAL RETAILING              1,108 
                        
       TOTAL COMMON STOCKS              584,855 
       (Cost $2,238,829)                
274

TIAA-CREF FUNDS – Core Plus Bond Fund

 

                MATURITY    
SHARES     COMPANY     RATE   DATE  VALUE 
PREFERRED STOCKS - 0.2%                
                        
BANKS - 0.1%                
 200,000  *  Wintrust Financial Corp             $5,198,000 
       TOTAL BANKS              5,198,000 
                        
DIVERSIFIED FINANCIALS - 0.1%                
 108,701     Morgan Stanley              2,889,273 
 35,370     Morgan Stanley              917,144 
       TOTAL DIVERSIFIED FINANCIALS              3,806,417 
                        
       TOTAL PREFERRED STOCKS              9,004,417 
       (Cost $8,844,409)                
                        
SHORT-TERM INVESTMENTS - 8.2%                
                        
GOVERNMENT AGENCY DEBT - 4.8%                
 25,000,000     Federal Agricultural Mortgage Corp (FAMC)      0.090%  07/06/20   24,999,583 
 5,000,000     Federal Farm Credit Bank (FFCB)      0.120   09/25/20   4,998,328 
 5,000,000     FFCB      0.100   11/20/20   4,996,647 
 38,267,000     Federal Home Loan Bank (FHLB)      0.010-0.130   07/21/20   38,264,449 
 30,000,000     FHLB      0.100-0.130   07/22/20   29,997,900 
 32,830,000     FHLB      0.130-0.150   07/24/20   32,827,483 
 12,900,000     FHLB      0.120-0.160   08/14/20   12,897,635 
 17,500,000     FHLB      0.130-0.170   09/04/20   17,495,576 
 20,000,000     FHLB      0.270   09/15/20   19,994,089 
 8,950,000     Federal Home Loan Mortgage Corp (FHLMC)      0.110   07/21/20   8,949,403 
 16,667,000     FHLMC      0.150   08/20/20   16,663,528 
 20,000,000     Federal National Mortgage Association (FNMA)      0.200   10/16/20   19,991,084 
 10,000,000     FNMA      0.080   11/13/20   9,993,625 
       TOTAL GOVERNMENT AGENCY DEBT              242,069,330 
                        
REPURCHASE AGREEMENT - 0.6%                
 30,000,000  r  Fixed Income Clearing Corp      0.070   07/01/20   30,000,000 
       TOTAL REPURCHASE AGREEMENT              30,000,000 
                        
TREASURY DEBT - 2.8%                
 18,090,000     United States Treasury Bill      0.100   07/09/20   18,089,488 
 67,990,000     United States Treasury Bill      0.100-0.130   07/14/20   67,987,391 
 20,000,000     United States Treasury Bill      0.130   07/28/20   19,998,012 
 24,830,000     United States Treasury Bill      0.120   08/06/20   24,826,834 
 7,205,000     United States Treasury Bill      0.130   08/20/20   7,203,749 
       TOTAL TREASURY DEBT              138,105,474 
                        
       TOTAL SHORT-TERM INVESTMENTS              410,174,804 
       (Cost $410,171,918)                
                        
       TOTAL INVESTMENTS - 103.1%              5,171,067,868 
       (Cost $5,016,932,761)                
       OTHER ASSETS & LIABILITIES, NET - (3.1)%              (154,316,652)
       NET ASSETS - 100.0%             $5,016,751,216 
       
     
    Abbreviation(s):
DGS1   1-Year Treasury Constant Maturity Rate
DGS5   5-Year Treasury Constant Maturity Rate
DOP   Dominican Republic Peso
275

TIAA-CREF FUNDS – Core Plus Bond Fund

 

EUR   Euro
LIBOR   London Interbank Offered Rate
M   Month
PEN   Peruvian Sol
REIT   Real Estate Investment Trust
     
*   Non-income producing
  Security is categorized as Level 3 in the fair value hierarchy.
  Perpetual security
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $1,246,543,765 or 24.9% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
k   Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
o   Payment in Kind Bond
q   In default
r   Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $30,000,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $30,600,027.

 

Futures contracts outstanding as of June 30, 2020 were as follows: 

 

DescriptionNumber of long
(short) contracts
   Expiration date  Notional amount    Value    Unrealized
appreciation (depreciation)
US 5 Year Note (CBT)  (1,010 )  09/30/20  $   (126,879,527 )  $  (126,999,610 )  $       (120,083 )
 

Forward foreign currency contracts outstanding as of June 30, 2020 were as follows: 

 

Currency to be purchased  Receive  Currency to be sold  Deliver  Counterparty  Settlement date  Unrealized appreciation (depreciation)
$  2,958,009  EUR  2,735,000  Australia & New Zealand Banking Group  07/27/20  $(116,674)
$  1,364,114  EUR  1,260,336  Citibank N.A.  08/18/20   (53,415)
Total                 $(170,089)
       
     
    Abbreviation(s):
EUR   Euro
276

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

TIAA-CREF FUNDS
5-15 YEAR LADDERED TAX-EXEMPT BOND FUND
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2020

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
LONG-TERM MUNICIPAL BONDS - 96.0%             
                     
ALABAMA - 2.4%             
$500,000     City of Birmingham AL   5.000%  12/01/29  $645,335 
 500,000     City of Birmingham AL   5.000   12/01/30   640,055 
 630,000     County of Mobile AL   5.000   02/01/34   806,425 
 2,900,000     Lower Alabama Gas District   4.000   12/01/50   3,299,794 
 1,000,000     University of South Alabama   5.000   11/01/31   1,202,630 
       TOTAL ALABAMA           6,594,239 
                     
ALASKA - 1.3%             
 500,000     Alaska Municipal Bond Bank Authority   5.000   12/01/31   590,105 
 2,570,000     Borough of Matanuska-Susitna AK   5.000   09/01/25   3,051,284 
       TOTAL ALASKA           3,641,389 
                     
ARIZONA - 1.0%             
 2,000,000     Chandler Industrial Development Authority   5.000   06/01/49   2,303,300 
 200,000     City of Phoenix Civic Improvement Corp   5.000   07/01/25   239,084 
 190,000     Pinal County Electric District No 3   5.000   07/01/33   232,165 
       TOTAL ARIZONA           2,774,549 
                     
ARKANSAS - 0.8%             
 1,000,000  g  Arkansas Development Finance Authority   4.500   09/01/49   991,910 
 1,000,000     City of Fort Smith AR Water & Sewer Revenue   5.000   10/01/32   1,272,750 
       TOTAL ARKANSAS           2,264,660 
                     
CALIFORNIA - 3.0%             
 365,000     California Educational Facilities Authority   5.000   12/01/29   424,006 
 1,510,000     California Health Facilities Financing Authority   5.000   09/01/33   1,690,868 
 185,000     California Municipal Finance Authority   4.000   07/15/29   186,371 
 715,000  g  California School Finance Authority   5.000   08/01/25   826,969 
 225,000  g  California Statewide Communities Development Authority   5.000   12/01/28   251,858 
 2,000,000     City of Los Angeles Department of Airports   5.000   05/15/27   2,416,880 
 450,000     Palmdale Community Redevelopment Agency   5.000   09/01/25   530,568 
 415,000     Palmdale Community Redevelopment Agency   5.000   09/01/31   486,256 
 750,000     San Diego Public Facilities Financing Authority   5.000   10/15/31   875,228 
 500,000     Santee CDC Successor Agency   5.000   08/01/27   608,670 
       TOTAL CALIFORNIA           8,297,674 
277

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
COLORADO - 1.4%             
$1,500,000     City & County of Denver CO Airport System Revenue   5.000%  11/15/30  $1,835,055 
 250,000     Colorado Health Facilities Authority   5.000   12/01/41   286,455 
 310,000     Denver Health & Hospital Authority   5.000   12/01/28   374,350 
 1,000,000     Interlocken Metropolitan District   5.000   12/01/27   1,272,860 
       TOTAL COLORADO           3,768,720 
                     
CONNECTICUT - 4.4%             
 1,180,000     Capital Region Development Authority   5.000   06/15/29   1,435,140 
 765,000     Capital Region Development Authority   5.000   06/15/33   897,138 
 1,900,000     City of Bridgeport CT   5.000   06/01/34   2,274,091 
 495,000     Connecticut State Health & Educational Facilities Authority   5.000   07/01/27   606,360 
 630,000     Connecticut State Health & Educational Facilities Authority   5.000   07/01/29   695,262 
 330,000     Connecticut State Health & Educational Facilities Authority   5.000   07/01/30   362,469 
 350,000     Connecticut State Health & Educational Facilities Authority   5.000   07/01/32   414,116 
 350,000     Connecticut State Health & Educational Facilities Authority   5.000   07/01/33   412,076 
 300,000  h  Connecticut State Higher Education Supplement Loan Authority   5.000   11/15/25   344,400 
 250,000     Connecticut State Higher Education Supplement Loan Authority   5.000   11/15/26   294,160 
 500,000     State of Connecticut Special Tax Revenue   5.000   05/01/30   657,730 
 1,000,000     State of Connecticut Special Tax Revenue   5.000   05/01/34   1,283,230 
 2,000,000     University of Connecticut   5.000   03/15/28   2,405,000 
       TOTAL CONNECTICUT           12,081,172 
                     
DISTRICT OF COLUMBIA - 0.4%             
 955,000     District of Columbia   5.000   04/01/27   1,143,641 
       TOTAL DISTRICT OF COLUMBIA           1,143,641 
                     
FLORIDA - 5.5%             
 1,000,000     Alachua County Health Facilities Authority   5.000   12/01/31   1,252,610 
 250,000     County of Broward FL Airport System Revenue   5.000   10/01/27   309,252 
 250,000     County of Broward FL Airport System Revenue   5.000   10/01/28   307,285 
 3,000,000     Escambia County Health Facilities Authority   5.000   08/15/32   3,673,650 
 1,100,000     Greater Orlando Aviation Authority   5.000   10/01/26   1,339,800 
 175,000     Hillsborough County Aviation Authority   5.000   10/01/31   215,462 
 185,000     Hillsborough County Aviation Authority   5.000   10/01/32   226,286 
 190,000     Hillsborough County Aviation Authority   5.000   10/01/33   231,264 
 400,000     Hillsborough County Port District   5.000   06/01/29   483,584 
 1,000,000     Hillsborough County Port District   5.000   06/01/33   1,181,630 
 210,000     Miami-Dade County Educational Facilities Authority   5.000   04/01/28   255,746 
 1,375,000     Miami-Dade County Expressway Authority   5.000   07/01/31   1,586,117 
 2,180,000     Port St. Lucie Community Redevelopment Agency   5.000   01/01/26   2,657,551 
 500,000     School District of Broward County   5.000   07/01/31   598,460 
 75,000     Volusia County Educational Facility Authority   5.000   10/15/25   87,668 
278

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$540,000     Volusia County Educational Facility Authority   5.000%  10/15/32  $636,541 
       TOTAL FLORIDA           15,042,906 
                     
GEORGIA - 3.5%             
 1,250,000     Brookhaven Development Authority   5.000   07/01/27   1,575,537 
 1,110,000     Burke County Development Authority   2.250   10/01/32   1,133,210 
 1,000,000     Dahlonega Downtown Development Authority   4.000   07/01/37   1,122,210 
 1,250,000     Dahlonega Downtown Development Authority   4.000   07/01/38   1,399,337 
 1,000,000     Dahlonega Downtown Development Authority   5.000   07/01/39   1,181,510 
 250,000     Georgia Municipal Association, Inc   5.000   12/01/30   319,057 
 1,000,000     Glynn-Brunswick Memorial Hospital Authority   5.000   08/01/47   1,120,510 
 1,020,000     Main Street Natural Gas, Inc   4.000   08/01/49   1,151,060 
 500,000     Municipal Electric Authority of Georgia   5.000   01/01/25   578,070 
       TOTAL GEORGIA           9,580,501 
                     
GUAM - 0.2%             
 200,000     Port Authority of Guam   5.000   07/01/29   234,246 
 200,000     Port Authority of Guam   5.000   07/01/30   233,444 
       TOTAL GUAM           467,690 
                     
HAWAII - 1.5%             
 1,275,000     City & County of Honolulu HI   5.000   09/01/27   1,638,107 
 1,000,000     State of Hawaii Airports System Revenue   5.000   07/01/29   1,249,730 
 1,000,000     State of Hawaii Airports System Revenue   5.000   07/01/41   1,132,170 
       TOTAL HAWAII           4,020,007 
                     
ILLINOIS - 13.4%             
 1,500,000     Chicago Board of Education   5.000   12/01/26   1,623,255 
 1,335,000     Chicago Board of Education   4.000   12/01/27   1,367,494 
 500,000     Chicago Housing Authority   5.000   01/01/33   608,000 
 2,000,000     Chicago Midway International Airport   5.000   01/01/26   2,332,860 
 400,000     Chicago O’Hare International Airport   5.000   01/01/22   422,732 
 750,000     Chicago O’Hare International Airport   5.000   01/01/25   868,875 
 300,000     Chicago O’Hare International Airport   5.000   01/01/28   360,987 
 1,000,000     Chicago O’Hare International Airport   5.000   01/01/32   1,128,640 
 1,000,000     Chicago Transit Authority   5.000   06/01/25   1,159,790 
 3,250,000     City of Chicago IL   5.000   01/01/28   3,557,807 
 1,500,000     City of Chicago IL Wastewater Transmission Revenue   5.000   01/01/22   1,577,205 
 500,000     City of Chicago IL Wastewater Transmission Revenue   5.000   01/01/22   525,735 
 1,000,000     City of Chicago IL Wastewater Transmission Revenue   5.000   01/01/25   1,143,460 
 1,000,000     City of Chicago IL Wastewater Transmission Revenue   5.000   01/01/26   1,167,570 
 1,250,000     City of Chicago IL, GO   5.000   01/01/29   1,379,062 
 1,500,000     City of Chicago IL, GO   5.500   01/01/35   1,606,650 
 650,000     City of Chicago IL, GO   5.500   01/01/37   693,205 
 500,000     City of Chicago IL, GO   5.500   01/01/42   529,285 
 1,750,000     County of Cook IL   5.000   11/15/31   1,946,857 
 400,000     Illinois Finance Authority   5.000   05/01/21   409,188 
 500,000     Illinois Finance Authority   5.000   11/01/21   518,310 
 1,000,000     Illinois State Toll Highway Authority   5.000   01/01/25   1,177,160 
279

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$2,000,000     Metropolitan Water Reclamation District of Greater Chicago   5.000%  12/01/30  $2,389,660 
 1,500,000     Sales Tax Securitization Corp   5.000   01/01/30   1,781,535 
 2,000,000     State of Illinois   5.000   06/01/28   2,146,420 
 145,000     State of Illinois, GO   6.250   12/15/20   147,582 
 250,000     Village of Broadview IL   5.000   12/01/28   319,127 
 200,000     Village of Broadview IL   5.000   12/01/29   254,288 
 545,000     Village of Broadview IL   5.000   12/01/30   689,338 
 745,000     Village of Broadview IL   5.000   12/01/33   923,644 
 2,000,000     Wheaton College   1.550   10/01/35   2,000,000 
       TOTAL ILLINOIS           36,755,721 
                     
INDIANA - 0.6%             
 1,365,000     City of Whiting IN   5.000   12/01/44   1,613,635 
       TOTAL INDIANA           1,613,635 
                     
IOWA - 0.2%             
 475,000     Iowa Higher Education Loan Authority   5.000   10/01/27   597,222 
       TOTAL IOWA           597,222 
                     
KENTUCKY - 1.9%             
 2,000,000     Kentucky Turnpike Authority   5.000   07/01/26   2,343,820 
 1,250,000     Paducah Electric Plant Board   5.000   10/01/34   1,486,263 
 1,250,000     Paducah Electric Plant Board   5.000   10/01/35   1,483,175 
       TOTAL KENTUCKY           5,313,258 
                     
LOUISIANA - 1.6%             
 750,000     Louisiana Local Government Environmental Facilities & Community Development Auth   5.000   10/01/27   921,982 
 500,000     New Orleans Aviation Board   5.000   10/01/33   608,170 
 1,250,000     St. Tammany Parish Hospital Service District No   5.000   07/01/33   1,532,438 
 1,000,000     State of Louisiana   5.000   08/01/26   1,235,020 
       TOTAL LOUISIANA           4,297,610 
                     
MAINE - 0.2%             
 750,000  g,q  Finance Authority of Maine   5.375   12/15/33   412,500 
       TOTAL MAINE           412,500 
                     
MARYLAND - 0.8%             
 2,000,000     County of Baltimore MD   4.000   01/01/29   2,283,380 
       TOTAL MARYLAND           2,283,380 
                     
MASSACHUSETTS - 0.2%             
 500,000     Massachusetts Development Finance Agency   5.000   12/01/29   604,680 
       TOTAL MASSACHUSETTS           604,680 
280

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
MICHIGAN - 3.1%             
$2,000,000     Michigan Finance Authority   5.000%  04/01/25  $2,370,060 
 2,000,000     Michigan Finance Authority   5.000   11/15/28   2,416,620 
 1,650,000     Michigan Finance Authority   5.000   07/01/44   1,801,190 
 1,250,000     Wayne County Airport Authority   5.000   12/01/29   1,539,363 
 385,000     Wayne County Airport Authority   5.000   12/01/29   482,590 
       TOTAL MICHIGAN           8,609,823 
                     
MINNESOTA - 0.9%             
 1,055,000     City of Minneapolis MN   5.000   11/15/33   1,264,449 
 70,000     Duluth Economic Development Authority   5.000   02/15/33   82,570 
 500,000     Northern Municipal Power Agency   5.000   01/01/26   611,635 
 500,000     Northern Municipal Power Agency   5.000   01/01/28   605,940 
       TOTAL MINNESOTA           2,564,594 
                     
MISSISSIPPI - 1.9%             
 1,250,000     Mississippi Development Bank   5.000   03/01/25   1,456,087 
 1,045,000     Mississippi Development Bank   5.000   03/01/26   1,242,432 
 1,000,000     Mississippi Development Bank   5.000   06/01/27   1,272,440 
 1,000,000     Mississippi Development Bank   5.000   03/01/35   1,136,170 
       TOTAL MISSISSIPPI           5,107,129 
                     
MISSOURI - 2.6%             
 1,225,000     City of Kansas City MO   5.000   10/01/26   1,465,210 
 1,000,000     City of St. Louis MO Parking Revenue   5.000   12/15/25   1,209,940 
 1,000,000     City of St. Louis MO Parking Revenue   5.000   12/15/26   1,213,770 
 900,000     Health & Educational Facilities Authority of the State of Missouri   5.000   02/15/28   1,127,475 
 1,745,000     St. Louis Municipal Finance Corp   5.000   02/15/26   2,047,007 
       TOTAL MISSOURI           7,063,402 
                     
NEBRASKA - 0.1%             
 250,000     Omaha Airport Authority   5.000   12/15/22   274,415 
       TOTAL NEBRASKA           274,415 
                     
NEVADA - 0.4%             
 1,000,000     Las Vegas Redevelopment Agency   5.000   06/15/26   1,179,020 
       TOTAL NEVADA           1,179,020 
                     
NEW JERSEY - 5.2%             
 1,000,000     New Jersey Economic Development Authority   5.000   06/15/27   1,142,690 
 3,500,000     New Jersey Economic Development Authority   5.000   11/01/35   3,955,385 
 1,000,000     New Jersey Educational Facilities Authority   5.000   07/01/27   1,176,790 
 1,000,000     New Jersey Transportation Trust Fund Authority   5.000   06/15/29   1,117,480 
281

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
$765,000     New Jersey Transportation Trust Fund Authority   5.000%  12/15/33  $863,662 
 5,000,000     New Jersey Transportation Trust Fund Authority   5.000   06/15/34   5,637,550 
 500,000     South Jersey Port Corp   5.000   01/01/48   524,895 
       TOTAL NEW JERSEY           14,418,452 
                     
NEW YORK - 5.2%             
 1,000,000     Brooklyn Arena Local Development Corp   5.000   07/15/26   1,097,500 
 1,000,000     Metropolitan Transportation Authority   5.000   11/15/25   1,117,980 
 1,250,000     Metropolitan Transportation Authority   5.000   11/15/50   1,417,562 
 1,415,000     Metropolitan Transportation Authority   5.250   11/15/55   1,620,048 
 1,750,000     New York State Dormitory Authority   5.000   07/01/33   2,012,798 
 1,000,000     New York State Urban Development Corp   5.000   03/15/35   1,318,300 
 375,000     New York Transportation Development Corp   5.000   07/01/30   413,389 
 1,000,000     New York Transportation Development Corp   5.000   08/01/31   1,001,420 
 715,000     New York Transportation Development Corp   5.000   01/01/36   765,329 
 1,000,000     Port Authority of New York & New Jersey   4.000   11/01/34   1,146,230 
 1,000,000     Port Authority of New York & New Jersey   5.000   11/01/35   1,250,200 
 1,000,000     Westchester County Local Development Corp   5.000   11/01/25   1,129,600 
       TOTAL NEW YORK           14,290,356 
                     
NORTH CAROLINA - 1.7%             
 100,000     City of Charlotte NC Airport Revenue   5.000   07/01/25   117,512 
 1,355,000     County of Duplin NC   5.000   04/01/27   1,635,106 
 1,000,000     North Carolina Medical Care Commission   5.000   12/01/26   1,208,990 
 255,000     North Carolina Medical Care Commission   3.000   07/01/36   267,067 
 200,000     North Carolina Turnpike Authority   5.000   01/01/22   213,066 
 1,000,000     The Charlotte-Mecklenburg Hospital Authority   5.000   01/15/26   1,208,840 
       TOTAL NORTH CAROLINA           4,650,581 
                     
NORTH DAKOTA - 0.4%             
 1,000,000     North Dakota Housing Finance Agency   2.400   01/01/26   1,051,270 
       TOTAL NORTH DAKOTA           1,051,270 
                     
OHIO - 2.5%             
 1,000,000     American Municipal Power, Inc   5.000   02/15/34   1,258,060 
 1,000,000     City of Cleveland OH Airport System Revenue   5.000   01/01/27   1,197,460 
 200,000     City of Cleveland OH Income Tax Revenue   5.000   10/01/27   252,726 
 250,000     City of Cleveland OH Income Tax Revenue   5.000   10/01/28   319,140 
 240,000     City of Toledo OH   4.000   12/01/29   288,790 
 250,000     City of Toledo OH   4.000   12/01/30   299,040 
 200,000     City of Toledo OH   4.000   12/01/31   236,826 
 1,500,000     County of Miami OH   5.000   08/01/32   1,839,030 
 700,000  h  Miami University   5.000   09/01/28   912,345 
 175,000     State of Ohio   5.000   01/15/35   216,682 
       TOTAL OHIO           6,820,099 
282

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
OKLAHOMA - 0.9%             
$750,000     Oklahoma Development Finance Authority   5.000%  08/15/28  $896,370 
 1,500,000     Oklahoma Development Finance Authority   5.250   08/15/48   1,721,790 
       TOTAL OKLAHOMA           2,618,160 
                     
OREGON - 1.6%             
 3,000,000  †,g,q  Oregon State Business Development Commission   6.500   04/01/31   2,057,430 
 1,000,000  q  Oregon State Business Development Commission   11.500   04/01/31   838,090 
 1,000,000     Tri-County Metropolitan Transportation District of Oregon   5.000   10/01/28   1,289,360 
       TOTAL OREGON           4,184,880 
                     
PENNSYLVANIA - 5.1%             
 1,100,000     Allegheny County Higher Education Building Authority   5.000   03/01/29   1,271,930 
 480,000     Borough of Columbia PA   4.000   06/15/38   499,512 
 1,200,000  g  City of Chester PA   4.125   11/30/20   1,203,660 
 1,000,000     City of Philadelphia PA   5.000   08/01/26   1,227,740 
 740,000     Coatesville School District   5.000   08/01/25   885,713 
 500,000     Lancaster County Career & Technology Center Authority   4.000   02/01/25   560,240 
 500,000     Lancaster County Career & Technology Center Authority   4.000   02/01/26   568,495 
 670,000     Lancaster County Career & Technology Center Authority   4.000   02/01/30   776,517 
 2,000,000     Pennsylvania Economic Development Financing Authority   5.000   12/31/25   2,290,020 
 415,000     Pittsburgh Water & Sewer Authority   5.000   09/01/27   533,188 
 1,500,000     School District of the City of Erie   5.000   04/01/28   1,915,905 
 1,155,000     State Public School Building Authority   5.000   05/01/25   1,352,251 
 915,000     Township of Northampton PA   4.000   05/15/33   1,016,272 
       TOTAL PENNSYLVANIA           14,101,443 
                     
RHODE ISLAND - 0.4%             
 825,000     Rhode Island Commerce Corp   5.000   06/15/27   992,219 
       TOTAL RHODE ISLAND           992,219 
                     
SOUTH CAROLINA - 0.3%             
 265,000     City of Rock Hill SC Combined Utility System Revenue   5.000   01/01/27   327,959 
 170,000     City of Rock Hill SC Combined Utility System Revenue   5.000   01/01/28   215,436 
 265,000     City of Rock Hill SC Combined Utility System Revenue   5.000   01/01/29   343,376 
       TOTAL SOUTH CAROLINA           886,771 
                     
SOUTH DAKOTA - 0.2%             
 465,000     South Dakota Health & Educational Facilities Authority   5.000   11/01/25   551,606 
       TOTAL SOUTH DAKOTA           551,606 
                     
TENNESSEE - 1.4%             
 2,305,000     Metropolitan Nashville Airport Authority   5.000   07/01/35   2,894,942 
 755,000     Tennessee Energy Acquisition Corp   4.000   11/01/49   854,849 
       TOTAL TENNESSEE           3,749,791 
283

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
TEXAS - 12.7%             
$350,000     Atascosa County Industrial Development Corp   5.000%  12/15/28  $441,280 
 350,000     Atascosa County Industrial Development Corp   5.000   12/15/29   448,336 
 400,000     Atascosa County Industrial Development Corp   5.000   12/15/30   517,848 
 800,000     Austin Convention Enterprises, Inc   5.000   01/01/22   780,080 
 1,100,000     Central Texas Regional Mobility Authority   5.000   01/01/27   1,259,049 
 1,210,000     Central Texas Regional Mobility Authority   5.000   01/01/29   1,403,927 
 400,000     City of Austin TX Airport System Revenue   5.000   11/15/27   489,968 
 900,000     City of Austin TX Airport System Revenue   5.000   11/15/39   1,000,710 
 1,000,000     City of El Paso TX   4.000   08/15/35   1,210,500 
 2,000,000     City of El Paso TX Airport Revenue   5.000   08/15/28   2,460,060 
 1,970,000     City of Houston TX   5.000   03/01/32   2,419,436 
 4,000,000  h  City of Houston TX Combined Utility System Revenue   5.000   11/15/29   5,417,440 
 1,500,000     City of Lubbock TX   5.000   02/15/25   1,793,625 
 500,000     County of Galveston TX   4.000   02/01/38   569,460 
 550,000     Dallas County Utility & Reclamation District   5.000   02/15/26   670,857 
 1,105,000     Love Field Airport Modernization Corp   5.250   11/01/40   1,111,210 
 1,000,000     Lower Colorado River Authority   5.000   05/15/25   1,200,140 
 600,000     North Texas Tollway Authority   5.000   01/01/25   706,584 
 1,000,000     North Texas Tollway Authority   5.000   01/01/30   1,228,690 
 420,000     Port Freeport TX   5.000   06/01/28   527,394 
 825,000     Port Freeport TX   5.000   06/01/29   1,031,465 
 865,000     Port Freeport TX   5.000   06/01/30   1,080,766 
 935,000     Port Freeport TX   5.000   06/01/32   1,154,258 
 1,545,000     Texas Municipal Gas Acquisition & Supply Corp III   5.000   12/15/32   1,638,133 
 2,500,000     Texas Private Activity Bond Surface Transportation Corp   5.000   12/31/35   3,020,625 
 1,000,000     University of North Texas   5.000   04/15/27   1,264,560 
       TOTAL TEXAS           34,846,401 
                     
UTAH - 1.1%             
 475,000     Salt Lake City Corp Airport Revenue   5.000   07/01/31   587,494 
 1,000,000     Salt Lake City Corp Airport Revenue   5.000   07/01/32   1,226,940 
 1,000,000     Salt Lake City Corp Airport Revenue   5.000   07/01/33   1,220,150 
       TOTAL UTAH           3,034,584 
                     
VIRGIN ISLANDS - 1.9%             
 2,000,000  g  Virgin Islands Public Finance Authority   5.000   09/01/25   2,307,360 
 2,500,000  g  Virgin Islands Public Finance Authority   5.000   09/01/33   2,790,300 
       TOTAL VIRGIN ISLANDS           5,097,660 
                     
WASHINGTON - 0.7%             
 500,000     Klickitat County Public Utility District No   5.000   12/01/27   636,430 
 1,000,000     Pend Oreille County Public Utility District No  Box Canyon   5.000   01/01/29   1,186,430 
       TOTAL WASHINGTON           1,822,860 
284

TIAA-CREF FUNDS – 5-15 Year Laddered Tax-Exempt Bond Fund

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE 
WEST VIRGINIA - 1.4%             
$1,000,000     West Virginia Higher Education Policy Commission   5.000%  07/01/27  $1,233,910 
 750,000     West Virginia Hospital Finance Authority   5.000   01/01/29   945,015 
 1,215,000     West Virginia Hospital Finance Authority   5.000   01/01/30   1,514,230 
       TOTAL WEST VIRGINIA           3,693,155 
                     
       TOTAL LONG-TERM MUNICIPAL BONDS           263,163,825 
       (Cost $253,768,364)             
                     
SHORT-TERM MUNICIPAL BONDS - 1.8%             
                     
CALIFORNIA - 0.7%             
 2,000,000     Los Angeles Unified School District   2.375   07/01/20   2,000,000 
       TOTAL CALIFORNIA           2,000,000 
                     
NATIONAL - 1.1%             
 3,000,000  g,i  JPMorgan Chase Putters   0.380   06/01/21   3,000,000 
       TOTAL NATIONAL           3,000,000 
                     
       TOTAL SHORT-TERM MUNICIPAL BONDS           5,000,000 
       (Cost $5,000,000)             
                     
       TOTAL INVESTMENTS - 97.8%           268,163,825 
       (Cost $258,768,364)             
       OTHER ASSETS & LIABILITIES, NET - 2.2%           5,955,004 
       NET ASSETS - 100.0%          $274,118,829 
       
     
    Abbreviation(s):
GO   General Obligation
     
  Security is categorized as Level 3 in the fair value hierarchy.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $13,841,987 or 5.0% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
q   In default
285

TIAA-CREF FUNDS – Green Bond Fund

 

TIAA-CREF FUNDS
GREEN BOND FUND
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2020

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
BANK LOAN OBLIGATIONS - 1.2%                
                        
UTILITIES - 1.2%                
$464,571  i  ExGen Renewables IV LLC  LIBOR 3 M + 3.000%   4.000%  11/28/24  $449,472 
       TOTAL UTILITIES              449,472 
                        
       TOTAL BANK LOAN OBLIGATIONS              449,472 
       (Cost $460,997)                
                        
BONDS - 94.7%                
                        
CORPORATE BONDS - 44.3%                
                        
BANKS - 8.3%                
 475,000     Bank of America Corp      2.456   10/22/25   499,713 
 500,000     Citigroup, Inc      1.678   05/15/24   509,734 
 250,000     First Abu Dhabi Bank PJSC      3.000   03/30/22   256,617 
 500,000     HSBC Holdings plc      3.033   11/22/23   522,392 
 500,000  g  ING Groep NV      4.625   01/06/26   585,818 
 250,000     National Australia Bank Ltd      3.625   06/20/23   271,226 
 250,000  i  Royal Bank of Scotland Group plc  DGS1 + 2.150%   2.359   05/22/24   256,661 
 200,000  g,i  Shinhan Financial Group Co Ltd  DGS5 + 1.500%   3.340   02/05/30   208,686 
       TOTAL BANKS              3,110,847 
                        
CAPITAL GOODS - 1.7%                
 250,000  g  NBM US Holdings, Inc      6.625   08/06/29   253,675 
 225,000     Xylem, Inc      1.950   01/30/28   226,885 
 150,000     Xylem, Inc      2.250   01/30/31   150,904 
       TOTAL CAPITAL GOODS              631,464 
                        
CONSUMER SERVICES - 1.4%                
 250,000     Conservation Fund      3.474   12/15/29   268,253 
 260,000     Nature Conservancy      1.767   02/01/24   256,213 
       TOTAL CONSUMER SERVICES              524,466 
                        
DIVERSIFIED FINANCIALS - 1.2%                
 450,000  g,i  ING Groep NV  DGS1 + 1.100%   1.400   07/01/26   451,050 
       TOTAL DIVERSIFIED FINANCIALS              451,050 
                        
MATERIALS - 2.9%                
 250,000  g  Celulosa Arauco y Constitucion S.A.      5.150   01/29/50   248,502 
 525,000  g  Inversiones CMPC S.A.      4.375   04/04/27   560,438 
 250,000  g  LG Chem Ltd      3.625   04/15/29   271,957 
       TOTAL MATERIALS              1,080,897 
                        
MEDIA & ENTERTAINMENT - 0.7%                
 260,000     Smithsonian Institution      2.645   09/01/39   267,978 
       MEDIA & ENTERTAINMENT              267,978 
286

TIAA-CREF FUNDS – Green Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
REAL ESTATE - 2.9%                
$500,000     Alexandria Real Estate Equities, Inc      4.000%  01/15/24  $552,604 
 275,000  g  HAT Holdings I LLC      5.250   07/15/24   280,500 
 250,000  g  HAT Holdings I LLC      6.000   04/15/25   261,875 
       TOTAL REAL ESTATE              1,094,979 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 2.2%                
 250,000     Apple, Inc      2.850   02/23/23   265,484 
 500,000     Apple, Inc      3.000   06/20/27   558,457 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           823,941 
                        
UTILITIES - 23.0%                
 250,000  g,i  AES Gener S.A.  DGS5 + 4.917%   6.350   10/07/79   251,250 
 500,000     Avangrid, Inc      3.150   12/01/24   539,797 
 600,000     Avangrid, Inc      3.200   04/15/25   655,668 
 500,000  g  Azure Power Energy Ltd      5.500   11/03/22   503,970 
 300,000  g  Clearway Energy Operating LLC      4.750   03/15/28   305,982 
 215,000  g  Consorcio Transmantaro SA      4.700   04/16/34   239,456 
 250,000     DTE Electric Co      4.050   05/15/48   307,871 
 250,000     Duke Energy Florida LLC      2.500   12/01/29   270,343 
 250,000  g  Electricite de France S.A.      3.625   10/13/25   280,594 
 500,000     Georgia Power Co      3.250   04/01/26   543,293 
 250,000  g  Hanwha Energy USA Holdings Corp      2.375   07/30/22   256,315 
 600,000     MidAmerican Energy Co      3.650   08/01/48   710,372 
 250,000     MidAmerican Energy Co      3.150   04/15/50   275,508 
 250,000     NorthWestern Corp      4.176   11/15/44   295,301 
 529,000     Public Service Co of Colorado      3.700   06/15/28   614,229 
 200,000     Public Service Co of Colorado      4.100   06/15/48   251,209 
 250,000     Public Service Co of Colorado      3.200   03/01/50   279,344 
 250,000     Southern Power Co      2.500   12/15/21   256,283 
 300,000     Southwestern Public Service Co      3.150   05/01/50   324,515 
 226,750  g  Star Energy Geothermal Wayang Windu Ltd      6.750   04/24/33   235,850 
 224  g  Topaz Solar Farms LLC      4.875   09/30/39   247 
 380,828  g  Topaz Solar Farms LLC      4.875   09/30/39   419,544 
 750,000     Westar Energy, Inc      2.550   07/01/26   800,186 
       TOTAL UTILITIES              8,617,127 
                        
       TOTAL CORPORATE BONDS              16,602,749 
       (Cost $15,219,566)                
                        
GOVERNMENT BONDS -  29.2%                
                        
AGENCY SECURITIES - 3.5%                
 250,000     Overseas Private Investment Corp (OPIC)     1.790   10/15/29   259,921 
 250,000     OPIC      2.360   10/15/29   266,546 
 236,800     OPIC      3.050   06/15/35   263,197 
 236,800     OPIC      3.590   06/15/35   273,547 
 250,000     United States International Development Finance Corp      1.050   10/15/29   249,154 
       TOTAL AGENCY SECURITIES              1,312,365 
287

TIAA-CREF FUNDS – Green Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
FOREIGN GOVERNMENT BONDS - 10.5%                
$579,000     Asian Development Bank      1.750%  08/14/26  $617,281 
 250,000     Asian Development Bank      3.125   09/26/28   294,838 
 250,000     Chile Government International Bond      3.500   01/25/50   281,003 
 250,000     European Bank for Reconstruction & Development      1.625   09/27/24   262,454 
 250,000     European Investment Bank      1.625   10/09/29   267,314 
 500,000     International Bank for Reconstruction & Development      2.125   03/03/25   538,389 
 500,000     International Bank for Reconstruction & Development      3.125   11/20/25   568,739 
 250,000  g  International Development Association      2.750   04/24/23   266,955 
 235,000  g  Korea Electric Power Corp      1.125   06/15/25   235,371 
 300,000  g  Perusahaan Penerbit SBSN Indonesia III      3.750   03/01/23   313,698 
 250,000  g  Perusahaan Penerbit SBSN Indonesia III      3.900   08/20/24   266,560 
       TOTAL FOREIGN GOVERNMENT BONDS              3,912,602 
                        
MUNICIPAL BONDS - 15.2%                
 360,000     City of Austin TX Electric Utility Revenue      2.677   11/15/25   394,157 
 300,000     City of Cleveland OH Income Tax Revenue      3.072   10/01/41   299,187 
 600,000     Grant County Public Utility District No 2      1.544   01/01/23   614,688 
 250,000     Grant County Public Utility District No 2      3.210   01/01/40   265,302 
 235,000     Great Lakes Water Authority Sewage Disposal System Revenue      3.056   07/01/39   250,684 
 100,000     Klickitat County Public Utilities      3.688   12/01/38   106,342 
 500,000     Metropolitan Transportation Authority      5.175   11/15/49   583,260 
 210,000     Mount Shasta Public Financing Authority      3.000   08/01/35   229,419 
 220,000     Mount Shasta Public Financing Authority      2.625   08/01/36   231,506 
 120,000     Mount Shasta Public Financing Authority      2.625   08/01/37   125,838 
 160,000     Mount Shasta Public Financing Authority      2.750   08/01/38   168,221 
 165,000     Mount Shasta Public Financing Authority      2.750   08/01/39   172,974 
 100,000     New York State Energy Research & Development Authority      4.577   04/01/35   102,959 
 105,000     New York State Environmental Facilities Corp      2.506   11/15/22   108,042 
 500,000  g  Ohio Air Quality Development Authority      4.500   01/15/48   516,850 
 250,000  g  Pennsylvania Economic Development Financing Authority      10.000   12/01/29   254,387 
 240,000     Semitropic Improvement District      2.164   12/01/22   245,585 
 500,000  i  State of California  LIBOR 1 M + 0.780%   0.962   04/01/47   499,065 
 500,000  g  Warm Springs Reservation Confederated Tribe      2.800   11/01/22   510,190 
       TOTAL MUNICIPAL BONDS              5,678,656 
                        
       TOTAL GOVERNMENT BONDS              10,903,623 
       (Cost $10,339,063)                
                        
STRUCTURED ASSETS - 21.2%                
                        
ASSET BACKED - 12.5%                
 267,314  g  HERO Funding Trust      4.050   09/20/41   279,116 
       Series - 2016 1A (Class A)                
 410,581  g  HERO Funding Trust      3.910   09/20/42   427,218 
       Series - 2016 3A (Class A2)                
 231,934  g  HERO Funding Trust      4.290   09/20/47   246,880 
       Series - 2016 4A (Class A2)                
 101,469  g  HERO Funding Trust      4.460   09/20/47   107,833 
       Series - 2017 1A (Class A2)                
 244,268  g  HERO Funding Trust      3.190   09/20/48   249,897 
       Series - 2017 3A (Class A1)                
288

TIAA-CREF FUNDS – Green Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$492,200  g  HERO Funding Trust      3.950%  09/20/48  $516,149 
       Series - 2017 3A (Class A2)                
 242,732  g  HERO Funding Trust      2.720   09/20/57   233,745 
       Series - 2020 1A (Class A)                
 250,000  g  Mosaic Solar Loan Trust      2.100   04/20/46   251,940 
       Series - 2020 1A (Class A)                
 106,059  g  SolarCity LMC      4.800   09/20/48   107,681 
       Series - 2016 A (Class A)                
 240,253  g  Sunrun Athena Issuer LLC      5.310   04/30/49   226,684 
       Series - 2018 1 (Class A)                
 494,288  g  Sunrun Atlas Issuer LLC      3.610   02/01/55   488,168 
       Series - 2019 2 (Class A)                
 456,072  g  Sunrun Callisto Issuer LLC      3.980   06/30/54   446,048 
       Series - 2019 1A (Class A)                
 576,206  g  Tesla Auto Lease Trust      3.710   08/20/21   584,512 
       Series - 2018 B (Class A)                
 250,000  g  Tesla Auto Lease Trust      2.160   10/20/22   256,391 
       Series - 2019 A (Class A3)                
 250,000  g  Tesla Auto Lease Trust      2.200   11/21/22   255,513 
       Series - 2019 A (Class A4)                
       TOTAL ASSET BACKED              4,677,775 
                        
OTHER MORTGAGE BACKED - 8.7%                
 100,000  g  BBCMS Trust      4.498   08/10/35   109,193 
       Series - 2015 SRCH (Class B)                
 600,000  g,i  BBCMS Trust      5.122   08/10/35   630,060 
       Series - 2015 SRCH (Class D)                
 500,000  g  COMM Mortgage Trust      3.178   02/10/35   529,034 
       Series - 2015 3BP (Class A)                
 500,000  g  CPT Mortgage Trust      2.865   11/13/39   544,117 
       Series - 2019 CPT (Class A)                
 275,000  g  GRACE Mortgage Trust      3.369   06/10/28   275,685 
       Series - 2014 GRCE (Class A)                
 176,719  g  JP Morgan Chase Commercial Mortgage Securities Trust      3.093   07/05/32   180,312 
       Series - 2012 HSBC (Class A)                
 250,000  g,i  Morgan Stanley Capital I Trust      2.508   04/05/42   218,333 
       Series - 2020 CNP (Class C)                
 250,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 4.250%   4.435   07/15/36   225,297 
       Series - 2019 MILE (Class F)                
 500,000  g  One Bryant Park Trust      2.516   09/15/54   528,988 
       Series - 2019 OBP (Class A)                
       TOTAL OTHER MORTGAGE BACKED              3,241,019 
                        
       TOTAL STRUCTURED ASSETS              7,918,794 
       (Cost $7,736,040)                
                        
       TOTAL BONDS              35,425,166 
       (Cost $33,294,669)                
289

TIAA-CREF FUNDS – Green Bond Fund

 

SHARES     COMPANY            VALUE 
PREFERRED STOCKS - 2.0%                
                        
REAL ESTATE - 0.9%                
 10,000  *  Brookfield Property Partners LP             $165,600 
 10,000  *  Brookfield Property Partners LP              181,300 
       TOTAL REAL ESTATE              346,900 
                        
UTILITIES - 1.1%                
 16,000  *  Brookfield Renewable Partners LP              401,440 
       TOTAL UTILITIES              401,440 
                        
       TOTAL PREFERRED STOCKS              748,340 
       (Cost $900,000)                
                        
PRINCIPAL     ISSUER       RATE  MATURITY
DATE
      
SHORT-TERM INVESTMENTS - 2.9%                
                        
REPURCHASE AGREEMENT - 2.9%                
$1,070,000  r  Fixed Income Clearing Corp      0.070%  07/01/20   1,070,000 
       TOTAL REPURCHASE AGREEMENT              1,070,000 
                        
       TOTAL SHORT-TERM INVESTMENTS              1,070,000 
       (Cost $1,070,000)                
                        
       TOTAL INVESTMENTS - 100.8%              37,692,978 
       (Cost $35,725,666)                
       OTHER ASSETS & LIABILITIES, NET - (0.8)%              (301,820)
       NET ASSETS - 100.0%             $37,391,158 
                        
             
           
          Abbreviation(s):
  DGS1       1-Year Treasury Constant Maturity Rate
  DGS5       5-Year Treasury Constant Maturity Rate
  LIBOR       London Interbank Offered Rate
  M       Month
           
  *       Non-income producing
  g       Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $15,898,514 or 42.5% of net assets.
  i       Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
  r       Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $1,007,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $1,091,416.
290

TIAA-CREF FUNDS – High-Yield Fund

 

TIAA-CREF FUNDS
HIGH-YIELD FUND
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2020

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
BANK LOAN OBLIGATIONS - 4.8%               
                        
AUTOMOBILES & COMPONENTS - 0.3%               
$11,393,993  i  Gates Global LLC  LIBOR 3 M + 2.750%   3.750%  04/01/24  $10,947,690 
       TOTAL AUTOMOBILES & COMPONENTS       10,947,690 
                        
CAPITAL GOODS - 0.3%               
 4,371,481  i  Titan Acquisition Ltd  LIBOR 3 M + 3.000%   3.361   03/28/25   3,987,359 
 7,157,063  i  Vertiv Group Corp  LIBOR 1 M + 3.000%   3.183   03/02/27   6,745,531 
       TOTAL CAPITAL GOODS          10,732,890 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 0.6%          
 1,500,000  i  Amentum Government Services Holdings LLC  LIBOR 1 M + 4.000%   4.178   01/29/27   1,469,370 
 14,503,204  i  Spin Holdco, Inc  LIBOR 3 M + 3.250%   4.250   11/14/22   13,848,239 
 4,254,792  †,i  WASH Multifamily Laundry Systems LLC  LIBOR 3 M + 7.000%   8.000   05/15/23   3,744,217 
 745,208  †,i  WASH Multifamily Laundry Systems LLC  LIBOR 3 M + 7.000%   8.000   05/15/23   655,783 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES      19,717,609 
                        
CONSUMER DURABLES & APPAREL - 0.1%               
 5,739,220  i  Academy Ltd  LIBOR 3 M + 4.000%   5.000   07/01/22   4,584,202 
       TOTAL CONSUMER DURABLES & APPAREL          4,584,202 
                        
CONSUMER SERVICES - 0.1%               
 13,275,000  i,q  CDS US Intermediate Holdings, Inc  LIBOR 3 M + 8.250%   9.250   07/10/23   2,190,375 
       TOTAL CONSUMER SERVICES          2,190,375 
                        
ENERGY - 0.4%               
 8,728,125  i  Buckeye Partners LP  LIBOR 1 M + 2.750%   2.923   11/02/26   8,348,452 
 4,350,000  i  ChampionX Holding, Inc  LIBOR 1 M + 5.000%   6.000   05/28/27   4,273,875 
       TOTAL ENERGY          12,622,327 
                        
HEALTH CARE EQUIPMENT & SERVICES - 0.8%               
 3,950,000  i  Da Vinci Purchaser Corp  LIBOR 1 M + 4.000%   5.238   01/08/27   3,836,438 
 9,850,000  i  Envision Healthcare Corp  LIBOR 3 M + 3.750%   3.928   10/10/25   6,427,125 
 18,648,659  i  RegionalCare Hospital Partners Holdings, Inc  LIBOR 1 M + 3.750%   3.924   11/16/25   17,434,071 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES          27,697,634 
                        
INSURANCE - 0.7%               
 12,232,068  i  Acrisure LLC  LIBOR 1 M + 3.500%   3.678   02/15/27   11,528,724 
 5,475,000  i  Asurion LLC  LIBOR 3 M + 6.500%   6.678   08/04/25   5,433,937 
 3,358,125  i  HUB International Ltd  LIBOR 1 M + 4.000%   5.000   04/25/25   3,294,321 
 4,726,250  i  USI, Inc  LIBOR 1 M + 4.000%   4.308   12/02/26   4,580,540 
       TOTAL INSURANCE              24,837,522 
                        
MATERIALS - 0.1%       
 4,750,000  i  Berry Global, Inc  LIBOR 1 M + 2.000%   2.177   10/01/22   4,618,283 
       TOTAL MATERIALS              4,618,283 
291

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE  
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.5%          
$9,044,250  i  Alphabet Holding Co, Inc  LIBOR 3 M + 3.500%   3.678%  09/26/24  $8,493,093 
 9,287,730  i  Bausch Health Americas, Inc  LIBOR 3 M + 3.000%   3.190   06/02/25   9,012,628 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   17,505,721 
                        
REAL ESTATE - 0.1%               
 4,431,082  i  Cushman & Wakefield plc  LIBOR 1 M + 2.750%   2.928   08/21/25   4,163,002 
       TOTAL REAL ESTATE          4,163,002 
                        
RETAILING - 0.2%               
 9,776,250  i  Staples, Inc  LIBOR 3 M + 5.000%   5.687   04/16/26   8,383,134 
       TOTAL RETAILING          8,383,134 
                        
SOFTWARE & SERVICES - 0.2%               
 7,980,000  i  Dun & Bradstreet Corp  LIBOR 1 M + 4.000%   4.184   02/06/26   7,760,550 
       TOTAL SOFTWARE & SERVICES          7,760,550 
                        
TRANSPORTATION - 0.3%               
 10,473,750  i  Genesee & Wyoming, Inc  LIBOR 1 M + 2.000%   2.308   12/30/26   10,060,456 
       TOTAL TRANSPORTATION          10,060,456 
                        
UTILITIES - 0.1%               
 3,325,910  i  ExGen Renewables IV LLC  LIBOR 3 M + 3.000%   4.000   11/28/24   3,217,818 
       TOTAL UTILITIES          3,217,818 
                        
       TOTAL BANK LOAN OBLIGATIONS          169,039,213 
       (Cost $191,079,208)                
                        
BONDS - 89.6%               
                        
CORPORATE BONDS - 89.6%               
                        
AUTOMOBILES & COMPONENTS - 4.5%               
 9,950,000  g  Adient Global Holdings Ltd      4.875   08/15/26   8,208,750 
 2,737,000  g  Adient US LLC      9.000   04/15/25   2,948,296 
 3,600,000  g  Allison Transmission, Inc      5.000   10/01/24   3,591,000 
 600,000  g  Allison Transmission, Inc      4.750   10/01/27   595,500 
 5,525,000  g  Clarios Global LP      6.750   05/15/25   5,746,000 
 5,700,000  g  Dana Financing Luxembourg SARL   5.750   04/15/25   5,785,500 
 7,500,000  g  Dana Financing Luxembourg SARL   6.500   06/01/26   7,762,500 
 1,900,000     Dana, Inc      5.500   12/15/24   1,914,250 
 6,695,000     Dana, Inc      5.375   11/15/27   6,644,787 
 2,450,000     Dana, Inc      5.625   06/15/28   2,432,090 
 9,900,000     Ford Motor Co      8.500   04/21/23   10,469,250 
 10,150,000     Ford Motor Co      9.000   04/22/25   10,974,687 
 5,825,000     Ford Motor Co      9.625   04/22/30   6,898,547 
 22,075,000  g  Gates Global LLC      6.250   01/15/26   21,863,301 
 25,000,000     Goodyear Tire & Rubber Co      9.500   05/31/25   26,781,250 
 1,100,000  g,o  IHO Verwaltungs GmbH      4.750   09/15/26   1,078,000 
 19,800,000  g,o  IHO Verwaltungs GmbH      6.375   05/15/29   20,115,563 
 15,650,000  g  Panther BF Aggregator 2 LP      8.500   05/15/27   15,727,468 
       TOTAL AUTOMOBILES & COMPONENTS          159,536,739 
292

TIAA-CREF FUNDS – High-Yield Fund

 

                        
PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
BANKS - 0.2%               
$2,250,000     Royal Bank of Scotland Group plc  6.100%  06/10/23  $2,491,269 
 4,275,000     Royal Bank of Scotland Group plc  8.625   N/A‡   4,444,931 
       TOTAL BANKS          6,936,200 
                        
CAPITAL GOODS - 3.1%               
 2,000,000  g  American Builders & Contractors Supply Co, Inc  4.000   01/15/28   1,943,540 
 3,000,000     Anixter, Inc      5.125   10/01/21   3,157,800 
 10,950,000  g  Beacon Escrow Corp      4.875   11/01/25   9,772,875 
 3,574,000  g  Beacon Roofing Supply, Inc  4.500   11/15/26   3,514,743 
 2,200,000  g  Builders FirstSource, Inc      6.750   06/01/27   2,252,250 
 10,015,000  g  Cloud Crane LLC      10.125   08/01/24   9,849,252 
 3,337,000     Howmet Aerospace, Inc      6.875   05/01/25   3,624,385 
 2,025,000  g  Masonite International Corp  5.375   02/01/28   2,070,563 
 5,475,000  g  Navistar International Corp      9.500   05/01/25   5,865,094 
 12,600,000  g  PowerTeam Services LLC      9.033   12/04/25   12,852,000 
 7,450,000  g  SPX FLOW, Inc      5.625   08/15/24   7,617,625 
 4,150,000  g  SPX FLOW, Inc      5.875   08/15/26   4,243,375 
 12,250,000     TransDigm UK Holdings plc  6.875   05/15/26   11,392,500 
 2,375,000     TransDigm, Inc      6.500   05/15/25   2,220,839 
 2,000,000  g  TransDigm, Inc      8.000   12/15/25   2,101,980 
 7,000,000     TransDigm, Inc      7.500   03/15/27   6,727,560 
 10,780,000  g  WESCO Distribution, Inc      7.125   06/15/25   11,369,666 
 7,560,000  g  WESCO Distribution, Inc      7.250   06/15/28   7,972,549 
       TOTAL CAPITAL GOODS          108,548,596 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 5.5%          
 6,851,000     ADT Corp      6.250   10/15/21   7,056,530 
 12,350,000  g  ADT Corp      4.875   07/15/32   11,238,500 
 2,250,000     AECOM      5.875   10/15/24   2,430,000 
 13,500,000     AECOM      5.125   03/15/27   14,512,500 
 6,100,000  g  Allied Universal Holdco LLC  6.625   07/15/26   6,405,000 
 6,785,000  g  ASGN, Inc      4.625   05/15/28   6,626,367 
 1,025,000  g  Cimpress Plc      7.000   06/15/26   945,562 
 1,515,000  g  GFL Environmental, Inc      4.250   06/01/25   1,528,256 
 2,025,000  g  GFL Environmental, Inc      7.000   06/01/26   2,106,000 
 1,960,000  g  GFL Environmental, Inc      5.125   12/15/26   2,028,600 
 1,050,000  g  GFL Environmental, Inc      8.500   05/01/27   1,141,875 
 15,500,000     H&E Equipment Services, Inc  5.625   09/01/25   15,651,745 
 7,475,000  g  KAR Auction Services, Inc      5.125   06/01/25   7,362,875 
 10,700,000  g  Prime Security Services Borrower LLC  5.250   04/15/24   10,940,750 
 25,075,000  g  Prime Security Services Borrower LLC  5.750   04/15/26   25,983,969 
 18,100,000  g  Prime Security Services Borrower LLC  6.250   01/15/28   17,048,390 
 2,000,000  g  Ritchie Bros Auctioneers, Inc  5.375   01/15/25   2,057,500 
 7,900,000     RR Donnelley & Sons Co      6.500   11/15/23   7,210,409 
 8,225,000  g  Stericycle, Inc      5.375   07/15/24   8,430,625 
 11,425,000     United Rentals North America, Inc  5.500   07/15/25   11,724,906 
 6,675,000     United Rentals North America, Inc  4.625   10/15/25   6,708,375 
 1,175,000     United Rentals North America, Inc  5.875   09/15/26   1,231,400 
 12,500,000     United Rentals North America, Inc  6.500   12/15/26   13,125,000 
 4,500,000     United Rentals North America, Inc  5.500   05/15/27   4,635,000 
293

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
$4,200,000     United Rentals North America, Inc  4.875%  01/15/28  $4,305,000 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES      192,435,134 
                        
CONSUMER DURABLES & APPAREL - 2.3%               
 1,275,000  g,h  CD&R Smokey Buyer, Inc      6.750   07/15/25   1,325,872 
 2,125,000  g  Hanesbrands, Inc      4.625   05/15/24   2,114,375 
 1,000,000  g  Hanesbrands, Inc      4.875   05/15/26   1,007,500 
 1,900,000     KB Home      7.625   05/15/23   2,069,632 
 10,085,000     KB Home      6.875   06/15/27   10,992,650 
 16,000,000     Lennar Corp      4.500   04/30/24   16,636,640 
 8,150,000     Lennar Corp      5.875   11/15/24   8,905,913 
 8,000,000     M/I Homes Inc      4.950   02/01/28   7,950,000 
 8,875,000  g  Mattamy Group Corp      5.250   12/15/27   8,830,625 
 18,050,000  g  Mattel, Inc      6.750   12/31/25   18,726,875 
 4,580,000     Newell Brands, Inc      4.875   06/01/25   4,796,542 
       TOTAL CONSUMER DURABLES & APPAREL          83,356,624 
                        
CONSUMER SERVICES - 4.5%               
 3,425,000  g  1011778 BC ULC / New Red Finance, Inc  4.250   05/15/24   3,431,062 
 2,350,000  g  1011778 BC ULC / New Red Finance, Inc  5.750   04/15/25   2,467,500 
 15,000,000  g  1011778 BC ULC / New Red Finance, Inc  5.000   10/15/25   14,925,000 
 4,500,000  g  Boyd Gaming Corp      8.625   06/01/25   4,702,500 
 4,000,000     Boyd Gaming Corp      6.375   04/01/26   3,800,000 
 6,300,000     Boyd Gaming Corp      6.000   08/15/26   5,859,000 
 5,163,000  g  Cedar Fair LP      5.500   05/01/25   5,188,815 
 11,000,000  g  Cott Holdings, Inc      5.500   04/01/25   11,055,990 
 13,400,000  g  frontdoor, Inc      6.750   08/15/26   14,237,500 
 594,000  g  Hilton Domestic Operating Co, Inc  5.375   05/01/25   591,773 
 594,000  g  Hilton Domestic Operating Co, Inc  5.750   05/01/28   599,940 
 3,500,000     Hilton Worldwide Finance LLC  4.625   04/01/25   3,421,985 
 4,617,000  g  International Game Technology plc  6.250   02/15/22   4,660,284 
 10,270,000  g  International Game Technology plc  6.500   02/15/25   10,501,178 
 4,650,000  g  International Game Technology plc  6.250   01/15/27   4,743,000 
 2,025,000  g  International Game Technology plc  5.250   01/15/29   1,969,313 
 2,500,000  g  Live Nation Entertainment, Inc  4.875   11/01/24   2,250,000 
 16,425,000  g  Live Nation Entertainment, Inc  6.500   05/15/27   16,917,750 
 11,250,000     MGM Resorts International      6.000   03/15/23   11,362,500 
 10,000,000  g  Penn National Gaming, Inc      5.625   01/15/27   9,328,800 
 4,650,000  g  Scientific Games International, Inc  5.000   10/15/25   4,293,159 
 13,000,000  g  Wynn Las Vegas LLC      5.500   03/01/25   11,895,000 
 8,523,000  g  Yum! Brands, Inc      7.750   04/01/25   9,194,186 
       TOTAL CONSUMER SERVICES          157,396,235 
                        
DIVERSIFIED FINANCIALS - 3.8%               
 5,000,000     Ford Motor Credit Co LLC      5.085   01/07/21   4,995,250 
 5,000,000     Ford Motor Credit Co LLC      5.596   01/07/22   5,037,500 
 5,000,000     Ford Motor Credit Co LLC      3.219   01/09/22   4,863,550 
 25,400,000     Ford Motor Credit Co LLC      4.063   11/01/24   24,220,170 
 4,500,000     Icahn Enterprises LP      6.750   02/01/24   4,533,750 
 10,000,000     Icahn Enterprises LP      4.750   09/15/24   9,450,000 
 9,700,000     Icahn Enterprises LP      5.250   05/15/27   9,360,500 
 10,200,000  g  Jefferies Finance LLC      6.250   06/03/26   9,511,500 
 5,600,000  g  Lions Gate Capital Holdings LLC  6.375   02/01/24   5,460,000 
 6,325,000  g  Lions Gate Capital Holdings LLC  5.875   11/01/24   6,040,375 
294

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
$4,600,000  g  LPL Holdings, Inc      4.625%  11/15/27  $4,542,500 
 8,000,000     Navient Corp      6.125   03/25/24   7,600,000 
 14,350,000  g  Quicken Loans, Inc      5.250   01/15/28   14,924,000 
 10,675,000     Springleaf Finance Corp      6.125   03/15/24   10,848,469 
 3,650,000     Springleaf Finance Corp      8.875   06/01/25   3,902,543 
 10,960,000     Springleaf Finance Corp      5.375   11/15/29   10,302,400 
       TOTAL DIVERSIFIED FINANCIALS          135,592,507 
                        
ENERGY - 14.6%               
 9,175,000     AmeriGas Partners LP      5.500   05/20/25   9,450,250 
 8,375,000     AmeriGas Partners LP      5.875   08/20/26   8,835,625 
 13,075,000  g  Antero Midstream Partners LP  5.750   03/01/27   10,329,250 
 9,625,000  g  Antero Midstream Partners LP  5.750   01/15/28   7,603,750 
 12,550,000  g  Archrock Partners LP      6.875   04/01/27   11,822,100 
 10,800,000  g  Archrock Partners LP      6.250   04/01/28   9,885,240 
 2,000,000     Ashland, Inc      6.875   05/15/43   2,300,000 
 6,200,000     Calumet Specialty Products Partners LP  7.750   04/15/23   5,766,000 
 6,000,000  g  Calumet Specialty Products Partners LP      11.000   04/15/25   5,820,000 
 7,000,000     Cheniere Energy Partners LP  5.625   10/01/26   6,931,330 
 11,875,000  g,h,o  Cheniere Energy, Inc      4.875   05/28/21   11,990,188 
 7,963,000    Cloud Peak Energy Resources LLC  12.000   11/01/21   0 
 1,031,807     Cloud Peak Energy, Inc      9.000   10/24/24   515,903 
 1,820,835  o  Cloud Peak Energy, Inc      12.000   05/01/25   910,417 
 4,945,000     Continental Resources, Inc      5.000   09/15/22   4,866,820 
 18,787,000     Continental Resources, Inc      4.500   04/15/23   17,945,718 
 7,345,000     Crestwood Midstream Partners LP  6.250   04/01/23   6,537,050 
 6,050,000     Crestwood Midstream Partners LP  5.750   04/01/25   5,225,808 
 5,700,000  g  Crestwood Midstream Partners LP  5.625   05/01/27   4,752,033 
 3,600,000  g  Denbury Resources, Inc      9.000   05/15/21   1,395,000 
 1,273,000    Denbury Resources, Inc      5.500   05/01/22   89,110 
 525,000    Denbury Resources, Inc      4.625   07/15/23   14,438 
 15,532,000  g  Denbury Resources, Inc      7.750   02/15/24   5,902,160 
 1,912,000  †,g  Denbury Resources, Inc      6.375   12/31/24   191,200 
 5,168,000     EnLink Midstream Partners LP  4.150   06/01/25   3,979,360 
 5,000,000     EnLink Midstream Partners LP  4.850   07/15/26   3,701,500 
 10,300,000  g  Ensign Drilling, Inc      9.250   04/15/24   4,583,500 
 14,250,000  †,g,q  EP Energy LLC      7.750   05/15/26   2,850,000 
 4,400,000  g  EQM Midstream Partners LP  6.000   07/01/25   4,444,000 
 7,200,000  g  EQM Midstream Partners LP  6.500   07/01/27   7,375,176 
 11,900,000     Genesis Energy LP      6.500   10/01/25   10,174,500 
 17,500,000     Genesis Energy LP      6.250   05/15/26   15,012,900 
 6,175,000     Genesis Energy LP      7.750   02/01/28   5,495,750 
 1,075,000     Global Partners LP      7.000   08/01/27   994,375 
 13,825,000  g  Hess Midstream Operations LP  5.625   02/15/26   13,679,699 
 8,750,000  g  Moss Creek Resources Holdings, Inc  10.500   05/15/27   4,637,500 
 6,875,000     Murphy Oil Corp      6.875   08/15/24   6,428,125 
 4,800,000     Murphy Oil Corp      5.750   08/15/25   4,334,496 
 13,482,000     Murphy Oil Corp      5.875   12/01/27   11,864,160 
 1,650,000     Murphy Oil USA, Inc      5.625   05/01/27   1,703,625 
 3,750,000     Nabors Industries, Inc      5.100   09/15/23   1,725,000 
 5,875,000     Nabors Industries, Inc      5.750   02/01/25   2,379,375 
 10,750,000  g  Oasis Petroleum, Inc      6.250   05/01/26   1,773,750 
 5,000,000     Occidental Petroleum Corp      4.850   03/15/21   4,962,500 
 9,500,000     Occidental Petroleum Corp      2.600   08/13/21   9,284,255 
295

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
$9,475,000     Occidental Petroleum Corp      2.700%  08/15/22  $8,820,751 
 5,000,000     Occidental Petroleum Corp      6.950   07/01/24   4,903,125 
 5,000,000     Occidental Petroleum Corp      2.900   08/15/24   4,275,000 
 10,000,000  h  Occidental Petroleum Corp      8.000   07/15/25   10,037,500 
 10,000,000  h  Occidental Petroleum Corp      8.500   07/15/27   10,025,000 
 21,800,000  h  Occidental Petroleum Corp      8.875   07/15/30   21,772,750 
 10,000,000     Occidental Petroleum Corp      6.450   09/15/36   8,559,100 
 7,000,000  g  Parkland Fuel Corp      6.000   04/01/26   7,175,000 
 6,975,000  g  Parkland Fuel Corp      5.875   07/15/27   7,236,563 
 2,375,000     Range Resources Corp      4.875   05/15/25   1,782,081 
 15,000,000  g  Range Resources Corp      9.250   02/01/26   13,485,900 
 8,250,000     SM Energy Co      6.125   11/15/22   6,022,500 
 1,900,000     SM Energy Co      6.750   09/15/26   955,472 
 10,500,000     SM Energy Co      6.625   01/15/27   5,145,000 
 14,250,000     Southwestern Energy Co      7.500   04/01/26   12,473,025 
 4,750,000     Southwestern Energy Co      7.750   10/01/27   4,132,500 
 13,130,000  g  Stena AB      7.000   02/01/24   12,342,200 
 1,650,000  g  Stena International S.A.      6.125   02/01/25   1,575,750 
 10,200,000     Suburban Propane Partners LP  5.750   03/01/25   10,200,000 
 8,175,000     Suburban Propane Partners LP  5.875   03/01/27   8,093,250 
 3,361,000     Sunoco LP      4.875   01/15/23   3,310,585 
 2,500,000     Sunoco LP      5.500   02/15/26   2,425,000 
 5,000,000     Sunoco LP      6.000   04/15/27   4,950,000 
 9,825,000     Targa Resources Partners LP  5.125   02/01/25   9,456,563 
 11,500,000     Targa Resources Partners LP  5.875   04/15/26   11,385,000 
 2,025,000     Targa Resources Partners LP  6.500   07/15/27   2,030,063 
 10,000,000     Targa Resources Partners LP  5.000   01/15/28   9,403,800 
 10,000,000  g  TerraForm Power Operating LLC  5.000   01/31/28   10,450,000 
 9,414,625  g  Transocean Guardian Ltd      5.875   01/15/24   8,188,276 
 5,678,000  g  Transocean Pontus Ltd      6.125   08/01/25   4,939,860 
 6,220,000    Transocean, Inc      6.800   03/15/38   1,787,877 
 20,000,000     USA Compression Partners LP  6.875   04/01/26   19,325,000 
 2,650,000     USA Compression Partners LP  6.875   09/01/27   2,516,970 
 2,125,000     WPX Energy, Inc      5.250   10/15/27   1,985,148 
       TOTAL ENERGY              511,629,545 
                        
FOOD & STAPLES RETAILING - 1.1%               
 2,000,000     Albertsons Cos LLC      6.625   06/15/24   2,050,000 
 14,250,000     Albertsons Cos LLC      5.750   03/15/25   14,561,790 
 1,325,000  g  Albertsons Cos LLC      5.875   02/15/28   1,367,095 
 5,900,000  g  Albertsons Cos, Inc      4.875   02/15/30   6,036,467 
 13,984,000     Ingles Markets, Inc      5.750   06/15/23   14,053,920 
       TOTAL FOOD & STAPLES RETAILING          38,069,272 
                        
FOOD, BEVERAGE & TOBACCO - 1.7%               
 4,450,000     Kraft Heinz Foods Co      3.000   06/01/26   4,498,357 
 22,775,000  g  Kraft Heinz Foods Co      3.875   05/15/27   23,795,669 
 17,275,000  g  Kraft Heinz Foods Co      4.250   03/01/31   18,312,133 
 1,675,000     Kraft Heinz Foods Co      4.375   06/01/46   1,646,079 
 8,050,000  g  Lamb Weston Holdings, Inc  4.875   11/01/26   8,331,750 
 2,375,000  g  Post Holdings, Inc      5.000   08/15/26   2,383,906 
       TOTAL FOOD, BEVERAGE & TOBACCO          58,967,894 
296

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
HEALTH CARE EQUIPMENT & SERVICES - 7.2%               
$15,682,000     Centene Corp      4.750%  01/15/25  $16,053,193 
 2,000,000  g  Centene Corp      5.375   08/15/26   2,080,420 
 7,175,000     Centene Corp      4.625   12/15/29   7,596,675 
 10,000,000     Centene Corp      3.375   02/15/30   10,097,100 
 17,900,000  g  CHS      6.625   02/15/25   16,826,000 
 3,850,000  g  CHS      8.000   12/15/27   3,677,558 
 7,150,000     CHS/Community Health Systems  6.250   03/31/23   6,735,014 
 10,000,000  g  CHS/Community Health Systems  8.000   03/15/26   9,452,000 
 5,000,000     DaVita, Inc      5.125   07/15/24   5,087,500 
 11,000,000     DaVita, Inc      5.000   05/01/25   11,247,500 
 17,815,000  g  DaVita, Inc      4.625   06/01/30   17,717,017 
 2,698,000     Encompass Health Corp      5.750   11/01/24   2,698,000 
 4,000,000     Encompass Health Corp      5.750   09/15/25   4,110,960 
 8,100,000     Encompass Health Corp      4.500   02/01/28   7,768,872 
 3,750,000     Encompass Health Corp      4.750   02/01/30   3,581,250 
 33,350,000     HCA, Inc      5.375   02/01/25   35,726,188 
 900,000     HCA, Inc      7.500   11/06/33   1,093,500 
 9,425,000  g  MEDNAX, Inc      6.250   01/15/27   9,425,000 
 4,950,000  g  Molina Healthcare, Inc      4.375   06/15/28   4,962,375 
 4,005,000     MPT Operating Partnership LP  5.500   05/01/24   4,065,075 
 5,000,000     MPT Operating Partnership LP  5.000   10/15/27   5,137,500 
 7,275,000     MPT Operating Partnership LP  4.625   08/01/29   7,311,375 
 2,290,000  g  Teleflex, Inc      4.250   06/01/28   2,347,250 
 11,500,000     Tenet Healthcare Corp      8.125   04/01/22   12,075,000 
 15,000,000     Tenet Healthcare Corp      6.750   06/15/23   14,887,500 
 23,125,000     Tenet Healthcare Corp      4.625   07/15/24   22,660,881 
 2,625,000  g  Tenet Healthcare Corp      7.500   04/01/25   2,789,063 
 2,500,000  g  Tenet Healthcare Corp      4.625   06/15/28   2,449,200 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES        249,658,966 
                        
MATERIALS - 8.4%               
 1,600,000  g  Alcoa Nederland Holding BV  6.750   09/30/24   1,634,000 
 1,600,000  g  Alcoa Nederland Holding BV  7.000   09/30/26   1,640,000 
 1,500,000  g  Alcoa Nederland Holding BV  6.125   05/15/28   1,536,570 
 4,311,000  g  Arconic Corp      6.000   05/15/25   4,434,941 
 4,750,000     Arconic Inc      5.125   10/01/24   4,910,948 
 825,000  g  Arconic Rolled Products Corp  6.125   02/15/28   824,794 
 6,900,000     Berry Global, Inc      5.125   07/15/23   6,939,537 
 3,000,000  g  Berry Global, Inc      4.875   07/15/26   3,045,000 
 7,075,000  g  Berry Global, Inc      5.625   07/15/27   7,269,562 
 1,800,000  g  Cemex SAB de C.V.      7.750   04/16/26   1,837,710 
 4,750,000     Chemours Co      7.000   05/15/25   4,544,895 
 8,750,000     Chemours Co      5.375   05/15/27   7,907,287 
 13,075,000  g  Cleveland-Cliffs, Inc      9.875   10/17/25   13,715,021 
 7,625,000     Commercial Metals Co      5.750   04/15/26   7,815,625 
 3,000,000     Crown Americas LLC      4.750   02/01/26   3,057,090 
 7,660,000  g  Enviva Partners LP      6.500   01/15/26   7,966,400 
 6,000,000  g  First Quantum Minerals Ltd      7.250   05/15/22   5,874,000 
 4,750,000  g  First Quantum Minerals Ltd      7.250   04/01/23   4,559,002 
 6,025,000  g  First Quantum Minerals Ltd      7.500   04/01/25   5,768,938 
 4,500,000  g  First Quantum Minerals Ltd      6.875   03/01/26   4,263,750 
 4,250,000  g  FMG Resources Ltd      4.750   05/15/22   4,331,897 
 2,650,000  g  FMG Resources Ltd      5.125   03/15/23   2,722,875 
 5,000,000     Freeport-McMoRan, Inc      3.875   03/15/23   5,006,500 
297

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
$9,250,000     Freeport-McMoRan, Inc      4.550%  11/14/24  $9,400,313 
 4,000,000     Freeport-McMoRan, Inc      5.250   09/01/29   4,101,800 
 3,100,000     Freeport-McMoRan, Inc      5.400   11/14/34   3,064,156 
 14,250,000     Freeport-McMoRan, Inc      5.450   03/15/43   13,965,000 
 6,650,000  g  GCP Applied Technologies, Inc  5.500   04/15/26   6,633,375 
 5,175,000  g  James Hardie International Finance DAC  4.750   01/15/25   5,265,562 
 12,250,000  g  James Hardie International Finance DAC  5.000   01/15/28   12,495,000 
 32,445,000  g  Nova Chemicals Corp      4.875   06/01/24   30,254,962 
 3,500,000  g  NV Chemicals Corp      5.250   08/01/23   3,377,500 
 16,000,000  g  OCI NV      6.625   04/15/23   16,080,000 
 6,575,000  g  OCI NV      5.250   11/01/24   6,312,000 
 6,450,000     Olin Corp      5.125   09/15/27   6,030,750 
 11,250,000  g  Owens-Brockway Glass Container, Inc  5.875   08/15/23   11,615,625 
 6,006,000  g  PolyOne Corp      5.750   05/15/25   6,178,673 
 550,000  g  Silgan Holdings, Inc      4.125   02/01/28   545,188 
 6,975,000  g  Standard Industries, Inc      5.000   02/15/27   7,062,188 
 13,500,000  g  Trinseo Materials Operating S.C.A  5.375   09/01/25   12,791,250 
 6,800,000  g  Tronox Finance plc      5.750   10/01/25   6,290,000 
 9,702,000  g  Tronox, Inc      6.500   05/01/25   9,750,510 
 7,000,000  g  Tronox, Inc      6.500   04/15/26   6,545,000 
 4,940,000  g  Univar Solutions USA, Inc      5.125   12/01/27   4,997,403 
       TOTAL MATERIALS              294,362,597 
                        
MEDIA & ENTERTAINMENT - 9.9%               
 9,250,000  g  Altice Financing S.A.      5.000   01/15/28   9,188,580 
 9,365,000  g  CBS Radio, Inc      7.250   11/01/24   8,147,550 
 34,637,000  g  CCO Holdings LLC      5.875   04/01/24   35,719,406 
 5,363,000  g  CCO Holdings LLC      5.375   05/01/25   5,497,075 
 7,250,000  g  CCO Holdings LLC      4.500   08/15/30   7,398,625 
 1,425,000  g  Cinemark USA, Inc      8.750   05/01/25   1,474,875 
 9,500,000     CSC Holdings LLC      6.750   11/15/21   9,972,245 
 10,850,000  g  CSC Holdings LLC      5.500   04/15/27   11,289,425 
 29,250,000  g  CSC Holdings LLC      7.500   04/01/28   31,919,062 
 4,350,000  g  CSC Holdings LLC      6.500   02/01/29   4,752,375 
 11,725,000  g  CSC Holdings LLC      5.750   01/15/30   12,246,645 
 11,175,000  g  Diamond Sports Group LLC      5.375   08/15/26   8,100,087 
 4,030,000     DISH DBS Corp      5.000   03/15/23   4,020,328 
 13,500,000     DISH DBS Corp      7.750   07/01/26   14,311,485 
 17,400,000  g  DISH DBS Corp      7.375   07/01/28   17,291,250 
 2,225,000  g  Entercom Media Corp      6.500   05/01/27   1,996,938 
 7,525,000  g  EW Scripps Co      5.125   05/15/25   7,169,143 
 7,675,000  g  Gray Escrow, Inc      7.000   05/15/27   7,866,875 
 4,990,000  g  Gray Television, Inc      5.125   10/15/24   4,990,000 
 9,600,000  g  Gray Television, Inc      5.875   07/15/26   9,564,000 
 3,225,000  g  Lamar Media Corp      3.750   02/15/28   3,040,530 
 4,375,000  g  Lamar Media Corp      4.875   01/15/29   4,396,875 
 1,250,000  g  Lamar Media Corp      4.000   02/15/30   1,196,500 
 3,475,000  g  Match Group, Inc      4.625   06/01/28   3,513,746 
 8,772,000  g  Meredith Corp      6.500   07/01/25   8,684,280 
 5,938,000     Meredith, Corp      6.875   02/01/26   4,922,661 
 12,223,000  g  Neptune Finco Corp      10.875   10/15/25   13,139,725 
 11,875,000  g  Nielsen Finance LLC      5.000   04/15/22   11,841,750 
 19,150,000  g  Numericable-SFR S.A.      7.375   05/01/26   19,991,451 
 1,025,000  g  Scripps Escrow, Inc      5.875   07/15/27   971,188 
298

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
$8,100,000  g  Sirius XM Radio, Inc      5.375%  07/15/26  $8,365,194 
 19,775,000  g  Sirius XM Radio, Inc      4.125   07/01/30   19,507,247 
 12,425,000  g  TEGNA, Inc      4.625   03/15/28   11,431,000 
 15,325,000  g  Terrier Media Buyer, Inc      8.875   12/15/27   14,692,844 
 9,325,000  g  Virgin Media Secured Finance plc  5.500   05/15/29   9,827,524 
       TOTAL MEDIA & ENTERTAINMENT          348,438,484 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 2.5%            
 3,900,000  g  Bausch Health Cos, Inc      5.750   08/15/27   4,134,000 
 5,250,000  g  Bausch Health Cos, Inc      7.000   01/15/28   5,407,500 
 3,210,000  g  Bausch Health Cos, Inc      5.000   01/30/28   3,022,183 
 8,650,000  g  Bausch Health Cos, Inc      6.250   02/15/29   8,693,250 
 4,400,000  g  Bausch Health Cos, Inc      5.250   01/30/30   4,174,500 
 14,600,000  g  Horizon Pharma USA, Inc      5.500   08/01/27   15,189,402 
 3,000,000  g  Jaguar Holding Co II      4.625   06/15/25   3,053,100 
 2,775,000  g  Jaguar Holding Co II      5.000   06/15/28   2,840,906 
 8,000,000  g  Par Pharmaceutical, Inc      7.500   04/01/27   8,209,600 
 4,750,000  g  Valeant Pharmaceuticals International, Inc  9.000   12/15/25   5,116,748 
 4,750,000  g  Valeant Pharmaceuticals International, Inc  9.250   04/01/26   5,153,275 
 6,700,000  g  Valeant Pharmaceuticals International, Inc  8.500   01/31/27   7,110,375 
 814,000  g  VRX Escrow Corp      5.875   05/15/23   811,965 
 15,100,000  g  VRX Escrow Corp      6.125   04/15/25   15,315,477 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES  88,232,281 
                        
REAL ESTATE - 1.7%               
 8,925,000  g  Cushman & Wakefield US Borrower LLC  6.750   05/15/28   9,304,313 
 7,250,000  g  HAT Holdings I LLC      6.000   04/15/25   7,594,375 
 13,425,000  g  Iron Mountain, Inc      4.875   09/15/27   13,078,501 
 12,050,000     iStar, Inc      4.750   10/01/24   11,251,687 
 6,500,000  g  Ladder Capital Finance Holdings LLLP  4.250   02/01/27   5,200,000 
 2,937,000  g  MGM Growth Properties Operating Partnership LP  4.625   06/15/25   2,878,495 
 2,960,000  g  Realogy Group LLC      7.625   06/15/25   2,952,600 
 3,675,000     Service Properties Trust      7.500   09/15/25   3,857,648 
 1,900,000  g  VICI Properties LP      4.250   12/01/26   1,823,221 
 2,900,000  g  VICI Properties LP      4.125   08/15/30   2,765,875 
       TOTAL REAL ESTATE              60,706,715 
                        
RETAILING - 4.4%            
 987,000  g  Asbury Automotive Group, Inc  4.750   03/01/30   962,325 
 6,150,000  g  Camelot Finance S.A.      4.500   11/01/26   6,134,625 
 1,675,000     CDW LLC      5.000   09/01/25   1,723,156 
 4,857,000  g  L Brands, Inc      6.875   07/01/25   5,014,853 
 1,993,000  g  L Brands, Inc      9.375   07/01/25   1,995,491 
 6,650,000     L Brands, Inc      5.250   02/01/28   5,261,258 
 5,400,000  g  Lithia Motors, Inc      5.250   08/01/25   5,400,000 
 8,830,000  g  Lithia Motors, Inc      4.625   12/15/27   8,741,700 
 5,035,000  g  Macy’s, Inc      8.375   06/15/25   5,009,825 
 5,670,000     Penske Automotive Group, Inc  5.375   12/01/24   5,655,825 
 9,145,000     Penske Automotive Group, Inc  5.500   05/15/26   9,122,138 
 22,800,000  g  PetSmart, Inc      7.125   03/15/23   22,482,624 
 7,725,000  g  PetSmart, Inc      5.875   06/01/25   7,739,484 
 21,000,000  g  PetSmart, Inc      8.875   06/01/25   20,999,160 
 12,735,000     QVC, Inc      4.750   02/15/27   12,314,745 
299

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
$2,650,000     Sonic Automotive, Inc      6.125%  03/15/27  $2,623,500 
 15,000,000  g  Staples, Inc      7.500   04/15/26   11,786,250 
 31,700,000  g  Staples, Inc      10.750   04/15/27   19,333,513 
       TOTAL RETAILING              152,300,472 
                        
SOFTWARE & SERVICES - 2.2%               
 6,050,000  g  Gartner, Inc      4.500   07/01/28   6,120,785 
 4,750,000     NCR Corp      6.375   12/15/23   4,827,188 
 550,000  g  NCR Corp      8.125   04/15/25   583,000 
 12,000,000  g  Open Text Corp      5.875   06/01/26   12,451,320 
 4,125,000  g  Open Text Holdings, Inc      4.125   02/15/30   4,052,813 
 1,080,000  g  Presidio Holdings, Inc      4.875   02/01/27   1,055,700 
 16,475,000  g  Refinitiv US Holdings, Inc      6.250   05/15/26   17,463,500 
 10,600,000  g  Refinitiv US Holdings, Inc      8.250   11/15/26   11,479,482 
 3,900,000  g  Sabre GLBL, Inc      5.375   04/15/23   3,640,806 
 2,000,000  g  Sabre GLBL, Inc      5.250   11/15/23   1,840,000 
 1,750,000  g  Science Applications International Corp  4.875   04/01/28   1,744,505 
 5,300,000  g  SS&C Technologies, Inc      5.500   09/30/27   5,397,467 
 4,275,000  g  Symantec Corp      5.000   04/15/25   4,339,125 
 2,000,000  g  WEX, Inc      4.750   02/01/23   1,985,720 
       TOTAL SOFTWARE & SERVICES          76,981,411 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 1.6%               
 9,925,000  g  CommScope Finance LLC      8.250   03/01/27   10,199,922 
 9,000,000  g  CommScope Technologies LLC  5.000   03/15/27   8,106,300 
 4,500,000  g  CommScope, Inc      5.500   06/15/24   4,582,485 
 18,700,000  g  CommScope, Inc      6.000   06/15/25   18,058,590 
 6,575,000  g  Dell International LLC      7.125   06/15/24   6,811,289 
 3,500,000  g  Dell International LLC      5.850   07/15/25   4,020,942 
 3,650,000  g  MTS Systems Corp      5.750   08/15/27   3,348,875 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT      55,128,403 
                        
TELECOMMUNICATION SERVICES - 4.8%               
 8,675,000  g  Altice France S.A.      8.125   02/01/27   9,499,125 
 6,000,000     CenturyLink, Inc      6.450   06/15/21   6,136,200 
 17,300,000     CenturyLink, Inc      5.800   03/15/22   17,775,750 
 16,400,000     CenturyLink, Inc      7.500   04/01/24   18,020,648 
 16,600,000  g  Front Range BidCo, Inc      4.000   03/01/27   15,754,396 
 4,750,000     Level 3 Financing, Inc      5.375   01/15/24   4,785,625 
 9,600,000     Level 3 Financing, Inc      5.250   03/15/26   9,891,360 
 6,825,000  g  Level 3 Financing, Inc      4.250   07/01/28   6,815,991 
 4,500,000     Sprint Capital Corp      8.750   03/15/32   6,432,705 
 6,900,000     Sprint Corp      7.875   09/15/23   7,771,125 
 10,450,000     Sprint Corp      7.625   02/15/25   12,056,687 
 9,500,000     Sprint Corp      7.625   03/01/26   11,213,515 
 9,300,000  g  Telecom Italia S.p.A      5.303   05/30/24   9,683,811 
 11,200,000     T-Mobile USA, Inc      6.375   03/01/25   11,508,000 
 22,000,000     T-Mobile USA, Inc      5.125   04/15/25   22,495,000 
       TOTAL TELECOMMUNICATION SERVICES          169,839,938 
                        
TRANSPORTATION - 1.8%               
 13,425,000  g  Bombardier, Inc      6.125   01/15/23   9,233,715 
 12,375,000  g  Bombardier, Inc      7.875   04/15/27   8,105,625 
 10,675,000  g  Cargo Aircraft Management, Inc  4.750   02/01/28   10,581,594 
300

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
$14,206,000  g  Delta Air Lines, Inc      7.000%  05/01/25  $14,664,400 
 1,800,000  g  Meccanica Holdings USA, Inc  7.375   07/15/39   2,160,000 
 19,450,000  g  Mileage Plus Holdings LLC      6.500   06/20/27   19,498,625 
       TOTAL TRANSPORTATION          64,243,959 
                        
UTILITIES - 3.8%               
 4,250,000     AES Corp      5.500   04/15/25   4,361,775 
 17,125,000  g  Calpine Corp      5.250   06/01/26   17,291,284 
 4,000,000     Clearway Energy Operating LLC  5.750   10/15/25   4,153,600 
 2,400,000  g  Clearway Energy Operating LLC  4.750   03/15/28   2,447,856 
 10,900,000  g  IPALCO Enterprises, Inc      4.250   05/01/30   11,806,933 
 5,750,000  g  NextEra Energy Operating Partners LP  4.250   07/15/24   5,814,687 
 5,300,000  g  NextEra Energy Operating Partners LP  4.250   09/15/24   5,300,000 
 826,000     NRG Energy, Inc      6.625   01/15/27   863,170 
 16,750,000     Pacific Gas and Electric Co      3.300   08/01/40   16,298,588 
 40,950,000     Pacific Gas and Electric Co      3.500   08/01/50   39,532,311 
 18,500,000  g  Talen Energy Supply LLC      10.500   01/15/26   14,615,000 
 9,950,000  g  Talen Energy Supply LLC      7.625   06/01/28   9,950,000 
 600,000  g  Vistra Operations Co LLC      5.625   02/15/27   616,188 
       TOTAL UTILITIES              133,051,392 
                        
       TOTAL CORPORATE BONDS          3,145,413,364 
       (Cost $3,238,167,375)                
                        
       TOTAL BONDS              3,145,413,364 
       (Cost $3,238,167,375)                
                        
SHARES      COMPANY               
COMMON STOCKS - 2.2%               
                        
DIVERSIFIED FINANCIALS - 2.1%               
 436,097     iShares 0-5 Year High Yield Corporate Bond ETF          18,704,201 
 238,823     iShares iBoxx $ High Yield Corporate Bond ETF          19,492,733 
 166,512     SPDR Bloomberg Barclays High Yield Bond ETF          16,844,354 
 762,066  *  SPDR Bloomberg Barclays Short Term High Yield Bond ETF      19,204,063 
       TOTAL DIVERSIFIED FINANCIALS          74,245,351 
                        
ENERGY - 0.1%               
 443,017     Peabody Energy Corp              1,275,889 
 566,082  *  Tidewater, Inc              3,164,398 
       TOTAL ENERGY              4,440,287 
                        
       TOTAL COMMON STOCKS          78,685,638 
       (Cost $91,220,480)                
                        
PRINCIPAL     ISSUER                
SHORT-TERM INVESTMENTS - 2.2%               
                        
GOVERNMENT AGENCY DEBT - 0.7%               
$7,150,000     Federal Home Loan Bank (FHLB)  0.100   07/14/20   7,149,690 
 11,043,000     FHLB      0.060-0.18   10/01/20   11,038,767 
 6,770,000     Federal Home Loan Mortgage Corp (FHLMC)  0.090-0.10   07/07/20   6,769,865 
       TOTAL GOVERNMENT AGENCY DEBT          24,958,322 
301

TIAA-CREF FUNDS – High-Yield Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE  
REPURCHASE AGREEMENT - 0.3%               
$10,000,000  r  Fixed Income Clearing Corp      0.070%  07/01/20  $10,000,000 
       TOTAL REPURCHASE AGREEMENT      10,000,000 
                        
TREASURY DEBT - 1.2%               
 42,190,000     United States Treasury Bill      0.120   07/07/20   42,189,138 
       TOTAL TREASURY DEBT              42,189,138 
                        
       TOTAL SHORT-TERM INVESTMENTS          77,147,460 
       (Cost $77,147,815)                
                        
       TOTAL INVESTMENTS - 98.8%          3,470,285,675 
       (Cost $3,597,614,878)                
       OTHER ASSETS & LIABILITIES, NET - 1.2%      40,540,577 
       NET ASSETS - 100.0%             $3,510,826,252 

 

       
    Abbreviation(s):
ETF   Exchange Traded Fund
LIBOR   London Interbank Offered Rate
M   Month  
SPDR   Standard & Poor’s Depositary Receipts
Y   Year  
       
*   Non-income producing
  Security is categorized as Level 3 in the fair value hierarchy.
  Perpetual security
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $1,861,900,668 or 53.0% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
o   Payment in Kind Bond
q   In default
r   Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $10,000,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $10,200,081.
302

TIAA-CREF FUNDS – Inflation-Linked Bond Fund

 

TIAA-CREF FUNDS

INFLATION-LINKED BOND FUND

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2020

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE  
GOVERNMENT BONDS - 99.3%             
                      
AGENCY SECURITIES - 1.2%            
$ 4,112,500     Crowley Conro LLC   4.181%  08/15/43  $5,167,018 
  1,939,869     HNA LLC   2.369   09/18/27   2,040,923 
  9,200,000     Montefiore Medical Center   2.895   04/20/32   9,902,164 
  3,000,000     Private Export Funding Corp (PEFCO)   3.250   06/15/25   3,366,162 
  3,947,368     Reliance Industries Ltd   2.444   01/15/26   4,097,457 
  15,000,000     Ukraine Government AID International Bonds   1.471   09/29/21   15,221,640 
        TOTAL AGENCY SECURITIES           39,795,364 
                      
MORTGAGE BACKED - 2.7%             
  11,263,253     Government National Mortgage Association (GNMA)   3.600   09/15/31   12,431,096 
  5,619,142     GNMA   3.700   10/15/33   6,181,264 
  734,266     GNMA   2.490   06/15/35   772,725 
  1,619,784     GNMA   3.380   07/15/35   1,767,871 
  1,522,390     GNMA   3.870   10/15/36   1,694,516 
  5,513,812     GNMA   3.940   03/15/37   6,214,989 
  20,380,000  h   GNMA   1.730   07/20/37   20,434,135 
  22,969,300     GNMA   4.250   09/15/38   25,081,315 
  13,840,288     GNMA   2.750   01/15/45   15,006,240 
        TOTAL MORTGAGE BACKED           89,584,151 
                      
U.S. TREASURY SECURITIES - 95.4%             
  135,978,396  k  United States Treasury Inflation Indexed Bonds   0.125   01/15/22   137,948,133 
  117,865,620  k  United States Treasury Inflation Indexed Bonds   0.125   04/15/22   119,699,804 
  145,684,502  k  United States Treasury Inflation Indexed Bonds   0.125   07/15/22   149,251,539 
  135,559,885  k  United States Treasury Inflation Indexed Bonds   0.125   01/15/23   138,996,155 
  126,988,890  k  United States Treasury Inflation Indexed Bonds   0.625   04/15/23   132,168,988 
  139,397,940  k  United States Treasury Inflation Indexed Bonds   0.375   07/15/23   145,298,324 
  131,910,381  k  United States Treasury Inflation Indexed Bonds   0.625   01/15/24   139,055,390 
  104,623,636  k  United States Treasury Inflation Indexed Bonds   0.500   04/15/24   110,070,458 
  119,590,615  k  United States Treasury Inflation Indexed Bonds   0.125   07/15/24   125,045,293 
  97,455,150  k  United States Treasury Inflation Indexed Bonds   0.125   10/15/24   102,177,693 
  154,628,657  k  United States Treasury Inflation Indexed Bonds   0.250   01/15/25   162,859,004 
  103,878,090  k  United States Treasury Inflation Indexed Bonds   2.375   01/15/25   119,721,454 
  74,805,845  k  United States Treasury Inflation Indexed Bonds   0.375   07/15/25   79,983,017 
  117,409,587  k  United States Treasury Inflation Indexed Bonds   0.625   01/15/26   127,259,235 
  63,429,008  k  United States Treasury Inflation Indexed Bonds   2.000   01/15/26   73,788,206 
  94,286,762  k  United States Treasury Inflation Indexed Bonds   0.125   07/15/26   100,231,607 
  109,613,298  k  United States Treasury Inflation Indexed Bonds   0.375   01/15/27   118,240,043 
303

TIAA-CREF FUNDS – Inflation-Linked Bond Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE  
$ 44,835,836  k  United States Treasury Inflation Indexed Bonds   2.375%  01/15/27  $54,489,345 
  86,038,085  k  United States Treasury Inflation Indexed Bonds   0.375   07/15/27   93,611,270 
  136,298,115  k  United States Treasury Inflation Indexed Bonds   0.500   01/15/28   149,366,707 
  67,351,756  k  United States Treasury Inflation Indexed Bonds   1.750   01/15/28   80,394,772 
  52,067,876  k  United States Treasury Inflation Indexed Bonds   3.625   04/15/28   70,107,359 
  67,294,768  k  United States Treasury Inflation Indexed Bonds   0.750   07/15/28   75,918,836 
  102,983,868  k  United States Treasury Inflation Indexed Bonds   0.875   01/15/29   117,404,511 
  40,951,375  k  United States Treasury Inflation Indexed Bonds   2.500   01/15/29   52,523,296 
  116,315,297  k  United States Treasury Inflation Indexed Bonds   3.875   04/15/29   164,482,096 
  76,193,800  k  United States Treasury Inflation Indexed Bonds   0.250   07/15/29   83,404,345 
  4,983,750  k  United States Treasury Inflation Indexed Bonds   0.125   01/15/30   5,388,365 
  35,396,865  k  United States Treasury Inflation Indexed Bonds   3.375   04/15/32   52,706,793 
        TOTAL U.S. TREASURY SECURITIES           3,081,592,038 
                      
        TOTAL GOVERNMENT BONDS           3,210,971,553 
        (Cost $2,985,564,595)             
                      
SHORT-TERM INVESTMENTS - 0.7%             
                      
GOVERNMENT AGENCY DEBT - 0.5%             
  7,374,000     Federal Home Loan Bank (FHLB)   0.090-0.130   07/21/20   7,373,509 
  7,400,000     FHLB   0.100-0.120   07/23/20   7,399,457 
        TOTAL GOVERNMENT AGENCY DEBT           14,772,966 
                      
TREASURY DEBT - 0.2%             
  2,000,000     United States Treasury Bill   0.060   07/02/20   1,999,995 
  4,540,000     United States Treasury Bill   0.130   07/21/20   4,539,710 
        TOTAL TREASURY DEBT           6,539,705 
                      
        TOTAL SHORT-TERM INVESTMENTS           21,312,671 
        (Cost $21,312,753)             
                      
        TOTAL INVESTMENTS - 100.0%           3,232,284,224 
        (Cost $3,006,877,348)             
        OTHER ASSETS & LIABILITIES, NET - (0.0)%           (348,443)
        NET ASSETS - 100.0%          $3,231,935,781 

 

           
k       Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
h       All or a portion of these securities were purchased on a delayed delivery basis.
304

TIAA-CREF FUNDS – Short Duration Impact Bond Fund

 

TIAA-CREF FUNDS

SHORT DURATION IMPACT BOND FUND

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2020

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
BANK LOAN OBLIGATIONS - 1.5%              
                     
UTILITIES - 1.5%              
$464,571  i  ExGen Renewables IV LLC  LIBOR 3 M + 3.000%   4.000%  11/28/24  $449,472 
       TOTAL UTILITIES              449,472 
       TOTAL BANK LOAN OBLIGATIONS              449,472 
       (Cost $460,997)                
                        
BONDS - 94.2%                
                        
CORPORATE BONDS - 47.4%                
                        
AUTOMOBILES & COMPONENTS - 0.9%                
 250,000  g  Harley-Davidson Financial Services, Inc      4.050   02/04/22   257,687 
       TOTAL AUTOMOBILES & COMPONENTS              257,687 
                        
BANKS - 13.1%                
 250,000     Citigroup, Inc      1.678   05/15/24   254,867 
 500,000  i  Cooperatieve Rabobank UA  LIBOR 3 M + 0.480%   1.791   01/10/23   500,028 
 400,000  g  HSBC Bank Canada      1.650   09/10/22   408,603 
 500,000     HSBC Holdings plc      3.033   11/22/23   522,392 
 250,000  g  Intesa Sanpaolo S.p.A      6.500   02/24/21   257,037 
 500,000  g  Intesa Sanpaolo S.p.A      3.250   09/23/24   510,916 
 500,000  i  M&T Bank Corp  LIBOR 3 M + 0.680%   1.671   07/26/23   500,343 
 300,000  g  National Bank of Canada      2.150   10/07/22   308,349 
 250,000  i  Royal Bank of Scotland Group plc  DGS1 + 2.150%   2.359   05/22/24   256,661 
 400,000  g  USAA Capital Corp      1.500   05/01/23   410,392 
       TOTAL BANKS              3,929,588 
                        
CAPITAL GOODS - 2.6%                
 250,000     CNH Industrial Capital LLC      4.875   04/01/21   256,499 
 500,000     CNH Industrial Capital LLC      4.200   01/15/24   532,752 
       TOTAL CAPITAL GOODS              789,251 
                        
CONSUMER SERVICES - 0.9%                
 260,000     Nature Conservancy      1.767   02/01/24   256,213 
       TOTAL CONSUMER SERVICES              256,213 
                        
DIVERSIFIED FINANCIALS - 10.0%                
 200,000  g  BNP Paribas S.A.      2.219   06/09/26   204,328 
 250,000     Century Housing Corp      3.995   11/01/21   257,690 
 450,000  g,i  ING Groep NV  DGS1 + 1.100%   1.400   07/01/26   451,050 
 300,000  i  Lloyds Banking Group plc  DGS1 + 1.100%   1.326   06/15/23   301,757 
 300,000  i  Lloyds Banking Group plc  DGS1 + 3.500%   3.870   07/09/25   326,259 
 175,000     Morgan Stanley      2.188   04/28/26   182,002 
 250,000     Reinvestment Fund, Inc      3.477   02/15/23   249,468 
305

TIAA-CREF FUNDS – Short Duration Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE  
$250,000     Toyota Motor Credit Corp      1.150%  05/26/22  $252,879 
 250,000     Toyota Motor Credit Corp      1.350   08/25/23   255,036 
 250,000     Toyota Motor Credit Corp      1.800   02/13/25   259,133 
 250,000  g  WLB Asset II Pte Ltd      4.000   01/14/24   254,685 
       TOTAL DIVERSIFIED FINANCIALS           2,994,287 
                        
ENERGY - 1.8%                
 150,000     EQT Corp      6.125   02/01/25   149,478 
 375,000     Equinor ASA      1.750   01/22/26   384,111 
       TOTAL ENERGY              533,589 
                        
INSURANCE - 0.4%                
 125,000  g,h  Equitable Financial Life Global Funding      1.400   07/07/25   125,254 
       TOTAL INSURANCE              125,254 
                        
MATERIALS - 0.9%                
 275,000     DuPont de Nemours, Inc      2.169   05/01/23   280,156 
       TOTAL MATERIALS              280,156 
                        
MEDIA & ENTERTAINMENT - 0.8%                
 250,000  g  Schlumberger Finance Canada Ltd      2.200   11/20/20   251,579 
       TOTAL MEDIA & ENTERTAINMENT           251,579 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 1.7%             
 500,000  g,i  AbbVie, Inc  LIBOR 3 M + 0.650%   1.024   11/21/22   501,469 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES     501,469 
                        
REAL ESTATE - 3.0%                
 500,000     Alexandria Real Estate Equities, Inc      4.000   01/15/24   552,604 
 100,000  g  HAT Holdings I LLC      5.250   07/15/24   102,000 
 250,000  g  HAT Holdings I LLC      6.000   04/15/25   261,875 
       TOTAL REAL ESTATE              916,479 
                        
SOFTWARE & SERVICES - 1.7%                
 500,000     Microsoft Corp      2.400   02/06/22   515,970 
       TOTAL SOFTWARE & SERVICES              515,970 
                        
TRANSPORTATION - 3.0%                
 400,000     Delta Air Lines, Inc      7.375   01/15/26   386,959 
 250,000     Delta Air Lines, Inc      2.000   06/10/28   238,277 
 300,000     Delta Air Lines, Inc      2.500   06/10/28   269,032 
       TOTAL TRANSPORTATION              894,268 
                        
UTILITIES - 6.6%                
 300,000     Avangrid, Inc      3.200   04/15/25   327,834 
 250,000  g  Azure Power Energy Ltd      5.500   11/03/22   251,985 
 250,000  g  Hanwha Energy USA Holdings Corp      2.375   07/30/22   256,315 
 300,000  g  Korea Hydro & Nuclear Power Co Ltd      3.750   07/25/23   324,723 
 250,000     National Fuel Gas Co      4.900   12/01/21   258,597 
 300,000     National Fuel Gas Co      5.500   01/15/26   319,116 
 250,000     Southern Power Co      2.500   12/15/21   256,283 
       TOTAL UTILITIES              1,994,853 
                        
       TOTAL CORPORATE BONDS              14,240,643 
       (Cost $13,891,236)                
306

TIAA-CREF FUNDS – Short Duration Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
GOVERNMENT BONDS - 31.9%                
                        
AGENCY SECURITIES - 7.7%                
$250,000     Federal Home Loan Mortgage Corp (FHLMC)      0.375%  05/05/23  $250,649 
 250,000     FHLMC      1.500   02/12/25   261,793 
 500,000     NCUA Guaranteed Notes      3.450   06/12/21   515,349 
 250,000     Overseas Private Investment Corp (OPIC)      1.790   10/15/29   259,921 
 250,000     United States International Development Finance Corp      1.050   10/15/29   249,154 
 250,000     US Department of Housing and Urban Development (HUD)      2.570   08/01/21   256,039 
 250,000     HUD      2.618   08/01/23   266,643 
 247,134  i  Washington Aircraft 2 Co Ltd  LIBOR 3 M + 0.430%   0.714   06/26/24   243,602 
       TOTAL AGENCY SECURITIES              2,303,150 
                        
FOREIGN GOVERNMENT BONDS - 7.7%                
 500,000  g  European Stability Mechanism      1.375   09/11/24   518,325 
 250,000     International Bank for Reconstruction & Development      0.625   04/22/25   252,004 
 500,000  g  International Development Association      2.750   04/24/23   533,911 
 235,000  g  Korea Electric Power Corp      1.125   06/15/25   235,371 
 250,000  g  Nederlandse Waterschapsbank NV      1.750   01/15/25   263,424 
 500,000  g  Perusahaan Penerbit SBSN Indonesia III      3.750   03/01/23   522,830 
       TOTAL FOREIGN GOVERNMENT BONDS              2,325,865 
                        
MUNICIPAL BONDS - 7.8%                
 250,000     California Health Facilities Financing Authority      1.896   06/01/21   251,885 
 250,000     California Municipal Finance Authority      1.486   11/01/22   250,082 
 130,000  g  California Municipal Finance Authority      4.250   11/01/23   129,046 
 150,000  i  Connecticut Housing Finance Authority  SOFR + 0.650%   0.740   05/15/49   149,946 
 95,000     County of Saline AR      3.550   06/01/42   98,905 
 120,000     Grant County Public Utility District No 2 Priest Rapids Hydroelectric Project      1.794   01/01/22   122,314 
 225,000     Massachusetts Water Resources Authority      1.702   08/01/21   227,185 
 240,000     Semitropic Improvement District      2.164   12/01/22   245,585 
 425,000     Sustainable Energy Utility, Inc      1.550   09/15/21   425,990 
 250,000  g  Warm Springs Reservation Confederated Tribe      2.550   11/01/20   250,638 
 200,000  g  Warm Springs Reservation Confederated Tribe      3.050   11/01/24   208,576 
       TOTAL MUNICIPAL BONDS              2,360,152 
                        
U.S. TREASURY SECURITIES - 8.7%                
 400,000     United States Treasury Note      2.500   01/31/21   405,438 
 250,000     United States Treasury Note      1.750   07/31/21   254,238 
 285,000     United States Treasury Note      1.625   12/31/21   291,201 
 30,000     United States Treasury Note      0.250   06/15/23   30,063 
 1,500,000     United States Treasury Note      2.625   12/31/23   1,626,856 
 5,000     United States Treasury Note      0.250   06/30/25   4,990 
       TOTAL U.S. TREASURY SECURITIES           2,612,786 
                     
       TOTAL GOVERNMENT BONDS              9,601,953 
       (Cost $9,276,639)                
307

TIAA-CREF FUNDS – Short Duration Impact Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
STRUCTURED ASSETS - 14.9%                
                        
ASSET BACKED - 9.5%                
$267,314  g  HERO Funding Trust      4.050%  09/20/41  $279,116 
       Series - 2016 1A (Class A)                
 410,581  g  HERO Funding Trust      3.910   09/20/42   427,219 
       Series - 2016 3A (Class A2)                
 242,732  g  HERO Funding Trust      2.720   09/20/57   233,745 
       Series - 2020 1A (Class A)                
 92,866  g,i  Invitation Homes Trust  LIBOR 1 M + 1.000%   1.194   07/17/37   92,175 
       Series - 2018 SFR3 (Class A)                
 147,000  g,i  Invitation Homes Trust  LIBOR 1 M + 1.650%   1.844   01/17/38   143,516 
       Series - 2018 SFR4 (Class D)                
 250,000  g  Mosaic Solar Loan Trust      2.100   04/20/46   251,940 
       Series - 2020 1A (Class A)                
 106,059  g  SolarCity LMC      4.800   09/20/48   107,681 
       Series - 2016 A (Class A)                
 494,288  g  Sunrun Atlas Issuer LLC      3.610   02/01/55   488,168 
       Series - 2019 2 (Class A)                
 456,072  g  Sunrun Callisto Issuer LLC      3.980   06/30/54   446,048 
       Series - 2019 1A (Class A)                
 143,305  g  Tesla Auto Lease Trust      3.710   08/20/21   145,371 
       Series - 2018 B (Class A)                
 250,000  g  Tesla Auto Lease Trust      2.200   11/21/22   255,513 
       Series - 2019 A (Class A4)                
       TOTAL ASSET BACKED              2,870,492 
                        
OTHER MORTGAGE BACKED - 5.4%                
 68,462  i  Connecticut Avenue Securities  LIBOR 1 M + 3.000%   3.185   07/25/24   59,948 
       Series - 2014 C03 (Class 1M2)                
 97,426  g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.800%   0.985   01/25/40   96,872 
       Series - 2020 R01 (Class 1M1)                
 36,660  g,i  Connecticut Avenue Securities Trust  LIBOR 1 M + 0.770%   0.955   10/25/39   36,649 
       Series - 2019 R07 (Class 1M1)                
 180,000  g,i  DBUBS Mortgage Trust      5.714   07/10/44   149,899 
       Series - 2011 LC2A (Class D)                
 275,000  g  GRACE Mortgage Trust      3.369   06/10/28   275,685 
       Series - 2014 GRCE (Class A)                
 200,000     GS Mortgage Securities Trust      2.922   05/10/49   210,507 
       Series - 2016 GS2 (Class AAB)                
 250,000  g,i  Morgan Stanley Capital I Trust      5.684   09/15/47   248,182 
       Series - 2011 C1 (Class D)                
 250,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 4.250%   4.435   07/15/36   225,297 
       Series - 2019 MILE (Class F)                
 78,965  g,i  Sequoia Mortgage Trust      3.500   02/25/50   80,589 
       Series - 2020 1 (Class A4)                
 250,000  g,i  WFRBS Commercial Mortgage Trust      5.174   02/15/44   250,548 
       Series - 2011 C2 (Class B)                
       TOTAL OTHER MORTGAGE BACKED           1,634,176 
                     
       TOTAL STRUCTURED ASSETS              4,504,668 
       (Cost $4,576,363)                
                        
       TOTAL BONDS              28,347,264 
       (Cost $27,744,238)                
308

TIAA-CREF FUNDS – Short Duration Impact Bond Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY DATE  VALUE 
SHORT-TERM INVESTMENTS - 6.0%        
                  
REPURCHASE AGREEMENT - 6.0%        
$1,820,000  r  Fixed Income Clearing Corp   0.070%  07/01/20  $1,820,000 
       TOTAL REPURCHASE AGREEMENT           1,820,000 
                     
       TOTAL SHORT-TERM INVESTMENTS           1,820,000 
       (Cost $1,820,000)             
                     
       TOTAL INVESTMENTS - 101.7%           30,616,736 
       (Cost $30,025,235)             
       OTHER ASSETS & LIABILITIES, NET - (1.7)%           (517,909)
       NET ASSETS - 100.0%          $30,098,827 

 

       
    Abbreviation(s):  
DGS1   1-Year Treasury Constant Maturity Rate
LIBOR   London Interbank Offered Rate
M   Month
SOFR   Secure Overnight Financing Rate

 

g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $12,034,581 or 40.0% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
r   Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $1,820,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $1,856,486.
309

TIAA-CREF FUNDS – Short-Term Bond Fund

 

TIAA-CREF FUNDS
SHORT-TERM BOND FUND
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2020

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
BANK LOAN OBLIGATIONS - 1.4%          
           
CAPITAL GOODS - 0.1%            
$694,750  i  American Builders & Contractors Supply Co, Inc  LIBOR 1 M + 2.000%   2.178%  01/15/27  $661,402 
 1,350,000  h,i  Gardner Denver, Inc  LIBOR 1 M + 2.750%   2.934   03/01/27   1,309,500 
       TOTAL CAPITAL GOODS                   1,970,902 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 0.0%          
 359,688  i  Prime Security Services  LIBOR 1 M + 3.250%   4.250   09/23/26   345,078 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES     345,078 
                        
CONSUMER SERVICES - 0.2%            
 1,943,891  i  Hilton Worldwide Finance LLC  LIBOR 3 M + 1.750%   1.935   06/22/26   1,831,768 
 1,965,000  i  Wyndham Hotels & Resorts, Inc  LIBOR 3 M + 1.750%   1.928   05/30/25   1,851,030 
 1,043,270  i  YUM! Brands  LIBOR 3 M + 1.750%   1.944   04/03/25   997,627 
       TOTAL CONSUMER SERVICES                   4,680,425 
                        
HEALTH CARE EQUIPMENT & SERVICES - 0.2%            
 977,613  i  HCA, Inc  LIBOR 1 M + 1.750%   1.928   03/13/25   956,310 
 610,548  i  HCA, Inc  LIBOR 1 M + 1.750%   1.928   03/17/26   595,950 
 2,000,000  h,i  Jaguar Holding Co II  LIBOR 3 M + 2.500%   3.500   08/18/22   1,973,120 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES   3,525,380 
                        
MATERIALS - 0.0%
 310,263  i  WR Grace & Co-Conn  LIBOR 3 M + 1.750%   2.058   04/03/25   175,275 
 180,987  i  WR Grace & Co-Conn  LIBOR 3 M + 1.750%   3.500   04/03/25   300,471 
       TOTAL MATERIALS                   475,746 
                        
MEDIA & ENTERTAINMENT - 0.3%
 3,494,199  i  Charter Communications Operating LLC  LIBOR 1 M + 1.750%   1.930   04/30/25   3,361,210 
 1,394,304  i  CSC Holdings LLC  LIBOR 3 M + 2.250%   2.435   07/17/25   1,315,875 
 320,193  i  Nielsen Finance LLC  LIBOR 3 M + 2.000%   2.180   10/04/23   308,265 
 1,290,299  i  Outfront Media Capital LLC  LIBOR 1 M + 1.750%   1.935   11/18/26   1,229,332 
 252,908  i  Univision Communications, Inc  LIBOR 3 M + 2.750%   4.750   03/15/24   233,307 
       TOTAL MEDIA & ENTERTAINMENT                   6,447,989 
                        
SOFTWARE & SERVICES - 0.2%
 947,378  i  IQVIA, Inc  LIBOR 1 M + 1.750%   2.500   03/07/24   916,588 
 1,029,000  i  IQVIA, Inc  LIBOR 3 M + 1.750%   2.058   06/11/25   995,774 
 1,891,561  i  Open Text Corp  LIBOR 3 M + 1.750%   1.928   05/30/25   1,840,735 
       TOTAL SOFTWARE & SERVICES       3,753,097 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 0.1%
 697,720  i  Dell International LLC  LIBOR 1 M + 2.000%   2.750   09/19/25   678,784 
 691,438  i  Western Digital Corp  LIBOR 1 M + 1.750%   1.924   04/29/23   671,345 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   1,350,129 
310

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
TELECOMMUNICATION SERVICES - 0.1%
$1,000,000  h,i  T-Mobile USA, Inc  LIBOR 1 M + 3.000%   3.178%  04/01/27  $997,840 
       TOTAL TELECOMMUNICATION SERVICES   997,840 
                        
TRANSPORTATION - 0.2%
 1,919,192  i  American Airlines, Inc  LIBOR 1 M + 1.750%   1.934   01/29/27   1,442,273 
 1,836,590  i  Avis Budget Car Rental LLC  LIBOR 1 M + 1.750%   2.430   08/06/27   1,627,677 
       TOTAL TRANSPORTATION   3,069,950 
                        
UTILITIES - 0.0%        
 570,198  i  Vistra Operations Co LLC  LIBOR 1 M + 1.750%   1.928   12/31/25   549,426 
       TOTAL UTILITIES                   549,426 
                        
       TOTAL BANK LOAN OBLIGATIONS   27,165,962 
       (Cost $28,733,566)                
                        
BONDS - 95.0%        
         
CORPORATE BONDS - 32.0%        
         
BANKS - 13.0%        
 2,000,000  g  Banco Bradesco S.A.      2.850   01/27/23   1,975,000 
 2,100,000  g  Banco de Credito del Peru      2.700   01/11/25   2,104,200 
 3,575,000  g  Banco del Estado de Chile      2.668   01/08/21   3,592,906 
 2,375,000  g  Banco del Estado de Chile      2.704   01/09/25   2,440,313 
 2,500,000  g  Banco do Brasil SA/Cayman      4.750   03/20/24   2,591,250 
 2,000,000  g  Banco Internacional del Peru SAA Interbank      3.375   01/18/23   2,029,420 
 750,000  g  Banco Santander Mexico S.A.      4.125   11/09/22   780,938 
 2,000,000  g  Banco Santander Mexico S.A. Institucion de Banca Multiple Grupo Financiero Santand      5.375   04/17/25   2,188,800 
 5,125,000     Bancolombia S.A.      3.000   01/29/25   5,023,013 
 5,000,000     Bank of America Corp      2.369   07/21/21   5,004,618 
 10,000,000     Bank of America Corp      2.328   10/01/21   10,040,738 
 8,700,000     Bank of America Corp      3.499   05/17/22   8,906,689 
 10,000,000     Bank of America Corp      3.550   03/05/24   10,685,429 
 6,200,000  g  Bank of Montreal      2.100   06/15/22   6,389,426 
 6,160,000  g  Canadian Imperial Bank of Commerce      3.150   06/27/21   6,329,416 
 1,720,000     Citigroup, Inc      4.500   01/14/22   1,822,917 
 1,300,000     Citigroup, Inc      2.312   11/04/22   1,327,697 
 3,000,000     Citigroup, Inc      3.142   01/24/23   3,102,663 
 9,000,000  i  Citigroup, Inc  LIBOR 3 M + 0.950%   2.876   07/24/23   9,366,610 
 15,000,000     Citigroup, Inc      1.678   05/15/24   15,292,021 
 3,000,000     Citizens Bank NA      2.250   10/30/20   3,013,101 
 1,825,000  g  Credicorp Ltd      2.750   06/17/25   1,816,149 
 10,000,000  g  Dexia Credit Local S.A.      2.875   01/29/22   10,370,920 
 4,000,000  g  Dexia Credit Local S.A.      2.375   09/20/22   4,163,229 
 1,555,000     Discover Bank      3.200   08/09/21   1,589,568 
 650,000     Discover Bank      3.350   02/06/23   685,669 
 5,000,000  g  DNB Boligkreditt AS.      3.250   06/28/23   5,384,633 
 16,000,000  g  HSBC Bank Canada      1.650   09/10/22   16,344,133 
 6,000,000     HSBC Holdings plc      2.650   01/05/22   6,185,520 
 1,975,000     HSBC USA, Inc      2.750   08/07/20   1,979,425 
 1,485,000     Huntington National Bank      3.125   04/01/22   1,548,432 
 5,000,000  g  Itau Unibanco Holding S.A.      3.250   01/24/25   4,918,750 

311

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,445,000     JPMorgan Chase & Co      3.200%  01/25/23  $1,536,367 
 8,700,000     JPMorgan Chase & Co      3.207   04/01/23   9,058,364 
 10,000,000     JPMorgan Chase & Co      2.776   04/25/23   10,353,336 
 10,000,000     JPMorgan Chase & Co      1.514   06/01/24   10,161,711 
 5,000,000     JPMorgan Chase & Co      4.023   12/05/24   5,509,466 
 6,320,000     KeyBank NA      3.300   02/01/22   6,585,464 
 3,000,000     Mitsubishi UFJ Financial Group, Inc      2.623   07/18/22   3,112,863 
 2,000,000  g  NBK SPC Ltd      2.750   05/30/22   2,039,976 
 6,050,000     PNC Bank NA      2.450   11/05/20   6,082,358 
 1,945,000     PNC Bank NA      2.500   01/22/21   1,964,710 
 1,625,000  i  Royal Bank of Scotland Group plc  DGS1 + 2.150%   2.359   05/22/24   1,668,296 
 2,500,000     Santander UK plc      2.125   11/03/20   2,513,871 
 3,000,000  g  State Bank of India      4.000   01/24/22   3,068,105 
 2,100,000  g  Svenska Handelsbanken AB      0.625   06/30/23   2,097,566 
 1,000,000     Synchrony Bank      3.000   06/15/22   1,021,311 
 3,000,000     Toronto-Dominion Bank      1.850   09/11/20   3,008,912 
 3,000,000     Truist Financial Corp      2.150   02/01/21   3,025,430 
 1,720,000     Truist Financial Corp      2.900   03/03/21   1,746,096 
 1,680,000     Truist Financial Corp      3.750   12/06/23   1,840,376 
 2,100,000  g,i  United Overseas Bank Ltd  LIBOR 3 M + 0.480%   1.523   04/23/21   2,096,394 
 2,425,000     Wells Fargo & Co      1.654   06/02/24   2,464,270 
 12,670,000     Wells Fargo Bank NA      3.325   07/23/21   12,690,628 
 3,000,000     Westpac Banking Corp      2.800   01/11/22   3,110,292 
       TOTAL BANKS                  255,749,755 
                        
CAPITAL GOODS - 0.9%        
 1,500,000     Air Lease Corp      3.375   06/01/21   1,505,965 
 450,000     Air Lease Corp      2.250   01/15/23   443,240 
 4,400,000  g  BOC Aviation Ltd      3.500   10/10/24   4,559,632 
 1,385,000  g  Gold Fields Orogen Holding BVI Ltd      4.875   10/07/20   1,387,770 
 2,000,000     Ingersoll-Rand Global Holding Co Ltd      2.900   02/21/21   2,022,143 
 42,000     Johnson Controls International plc      3.750   12/01/21   42,957 
 1,580,000     L3Harris Technologies, Inc      4.950   02/15/21   1,599,456 
 2,000,000     Northrop Grumman Corp      2.080   10/15/20   2,009,347 
 3,134,000     Roper Technologies, Inc      3.000   12/15/20   3,162,345 
 272,000     United Technologies Corp      3.650   08/16/23   294,271 
       TOTAL CAPITAL GOODS                  17,027,126 
                        
COMMERCIAL & PROFESSIONAL SERVICES - 0.1%        
 2,000,000     ADT Corp      4.125   06/15/23   2,005,000 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES   2,005,000 
                        
CONSUMER DURABLES & APPAREL - 0.1%        
 3,200,000     Lennar Corp      4.750   04/01/21   3,238,656 
       TOTAL CONSUMER DURABLES & APPAREL   3,238,656 
                        
CONSUMER SERVICES - 0.1%
 2,000,000     Sands China Ltd      4.600   08/08/23   2,105,600 
       TOTAL CONSUMER SERVICES               2,105,600 
                        
DIVERSIFIED FINANCIALS - 5.6%
 2,000,000     AerCap Ireland Capital DAC      3.950   02/01/22   2,000,670 
 3,000,000     American Express Co      2.200   10/30/20   3,013,769 
312

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$2,050,000     American Express Co      2.750%  05/20/22  $2,129,273 
 1,000,000     Ameriprise Financial, Inc      3.000   03/22/22   1,040,630 
 750,000     Australia & New Zealand Banking Group Ltd      2.625   05/19/22   781,458 
 2,500,000  g  Banco BTG Pactual S.A.      4.500   01/10/25   2,449,250 
 1,505,000     Bank of Montreal      2.900   03/26/22   1,568,636 
 4,000,000     Capital One Bank USA NA      3.375   02/15/23   4,211,673 
 3,000,000     Capital One Financial Corp      2.400   10/30/20   3,013,158 
 1,355,000     Capital One Financial Corp      4.750   07/15/21   1,412,901 
 3,000,000     Credit Suisse AG.      1.000   05/05/23   3,016,482 
 2,000,000     Deutsche Bank AG.      2.700   07/13/20   2,000,420 
 5,000,000     Deutsche Bank AG.      4.250   02/04/21   5,056,419 
 3,000,000     Discover Financial Services      3.850   11/21/22   3,177,675 
 1,200,000  g  Federation des Caisses Desjardins du Quebec      2.250   10/30/20   1,207,488 
 16,800,000  g  Federation des Caisses Desjardins du Quebec      1.950   09/26/22   17,331,124 
 4,500,000     Ford Motor Credit Co LLC      3.200   01/15/21   4,432,500 
 1,300,000     GE Capital International Funding Co      2.342   11/15/20   1,308,420 
 2,000,000     General Motors Financial Co, Inc      3.450   01/14/22   2,032,823 
 2,170,000     General Motors Financial Co, Inc      3.150   06/30/22   2,207,775 
 5,000,000     General Motors Financial Co, Inc      3.550   07/08/22   5,126,514 
 1,870,000     Goldman Sachs Group, Inc      2.750   09/15/20   1,874,694 
 4,000,000     Goldman Sachs Group, Inc      2.875   02/25/21   4,053,951 
 5,000,000     Goldman Sachs Group, Inc      2.876   10/31/22   5,126,220 
 6,105,000     Morgan Stanley      3.125   01/23/23   6,473,164 
 7,000,000  g  Nationwide Building Society      1.700   02/13/23   7,209,390 
 1,125,000  g  REC Ltd      4.750   05/19/23   1,154,136 
 3,000,000     Shire Acquisitions Investments Ireland DAC      2.400   09/23/21   3,059,962 
 300,000  g  State Street Corp      2.825   03/30/23   311,288 
 3,000,000     Toronto-Dominion Bank      0.750   06/12/23   3,017,405 
 5,000,000     Toyota Motor Credit Corp      1.350   08/25/23   5,100,715 
 5,000,000     Unilever Capital Corp      3.000   03/07/22   5,216,871 
       TOTAL DIVERSIFIED FINANCIALS   111,116,854 
                        
ENERGY - 1.8%        
 1,700,000     BP Capital Markets America, Inc      2.520   09/19/22   1,765,249 
 5,000,000     Chevron Corp      1.141   05/11/23   5,086,118 
 5,000,000     Energy Transfer Operating LP      4.500   04/15/24   5,420,540 
 3,771,000     Enterprise Products Operating LLC      2.800   02/15/21   3,823,144 
 2,000,000  g  GS Caltex Corp      3.000   06/04/24   2,090,098 
 3,650,000     Occidental Petroleum Corp      2.700   08/15/22   3,397,967 
 2,200,000  g  Pertamina Persero PT      4.875   05/03/22   2,304,186 
 1,500,000     Petroleos Mexicanos      5.375   03/13/22   1,496,250 
 662,500     Petroleos Mexicanos      2.000   12/20/22   672,891 
 2,000,000     Petroleos Mexicanos      3.500   01/30/23   1,902,000 
 695,000     Petroleos Mexicanos      2.378   04/15/25   719,247 
 1,000,000     Sabine Pass Liquefaction LLC      6.250   03/15/22   1,065,700 
 5,000,000  g  Saudi Arabian Oil Co      2.875   04/16/24   5,196,705 
       TOTAL ENERGY                  34,940,095 
                        
FOOD & STAPLES RETAILING - 0.7%        
 3,425,000  g  CK Hutchison International 17 Ltd      2.250   09/29/20   3,429,928 
 2,000,000     CVS Health Corp      2.800   07/20/20   2,001,798 
 2,000,000     Kroger Co      2.600   02/01/21   2,020,995 
 1,245,000     SYSCO Corp      2.600   10/01/20   1,248,647 
 5,000,000     Walmart, Inc      2.350   12/15/22   5,235,038 
       TOTAL FOOD & STAPLES RETAILING   13,936,406 
313

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
FOOD, BEVERAGE & TOBACCO - 0.8%        
$2,150,000     Altria Group, Inc      3.490%  02/14/22  $2,242,339 
 1,570,000     Altria Group, Inc      2.850   08/09/22   1,635,767 
 2,000,000     Constellation Brands, Inc      3.750   05/01/21   2,052,076 
 2,000,000     Constellation Brands, Inc      2.650   11/07/22   2,086,050 
 2,940,000     General Mills, Inc      3.150   12/15/21   3,029,758 
 1,000,000  g  Lamb Weston Holdings, Inc      4.625   11/01/24   1,037,500 
 3,000,000     Philip Morris International, Inc      1.125   05/01/23   3,051,390 
 1,300,000     Tyson Foods, Inc      2.250   08/23/21   1,317,193 
       TOTAL FOOD, BEVERAGE & TOBACCO   16,452,073 
                        
HEALTH CARE EQUIPMENT & SERVICES - 0.5%
 4,500,000     CVS Health Corp      3.700   03/09/23   4,835,222 
 4,925,000     CVS Health Corp      2.625   08/15/24   5,258,685 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES   10,093,907 
                        
INSURANCE - 0.5%        
 2,415,000     American International Group, Inc      3.375   08/15/20   2,423,196 
 2,500,000     Aon plc      2.800   03/15/21   2,543,394 
 3,000,000  g  MassMutual Global Funding II      0.850   06/09/23   3,011,439 
 1,570,000     Prudential Financial, Inc      4.500   11/15/20   1,593,984 
       TOTAL INSURANCE      9,572,013 
                        
MATERIALS - 1.2%
 5,000,000  g  Air Liquide Finance S.A.      1.750   09/27/21   5,062,130 
 1,000,000     Celulosa Arauco y Constitucion S.A.      4.500   08/01/24   1,056,260 
 3,000,000  g  Fresnillo plc      5.500   11/13/23   3,240,000 
 3,000,000  g  Indonesia Asahan Aluminiu      5.230   11/15/21   3,112,421 
 1,350,000  g  Midwest Connector Capital Co LLC      3.625   04/01/22   1,383,072 
 2,200,000     Newmont Goldcorp Corp      3.625   06/09/21   2,245,628 
 2,000,000  g  NV Chemicals Corp      5.250   08/01/23   1,930,000 
 2,000,000  g  OCP S.A.      5.625   04/25/24   2,154,052 
 1,550,000  g  SABIC Capital II BV      4.000   10/10/23   1,650,770 
 3,000,000     Sasol Financing International plc      4.500   11/14/22   2,714,144 
       TOTAL MATERIALS      24,548,477 
                        
MEDIA & ENTERTAINMENT - 0.9%
 5,100,000     Charter Communications Operating LLC      4.464   07/23/22   5,437,509 
 967,000     Comcast Corp      2.850   01/15/23   1,032,666 
 3,000,000     Comcast Corp      3.000   02/01/24   3,226,232 
 1,250,000  g  MEGlobal Canada ULC      5.000   05/18/25   1,345,250 
 2,000,000  g  Tencent Holdings Ltd      3.280   04/11/24   2,124,503 
 1,100,000  g  Upjohn, Inc      1.125   06/22/22   1,105,906 
 3,000,000     Walt Disney Co      1.650   09/01/22   3,069,752 
       TOTAL MEDIA & ENTERTAINMENT   17,341,818 
                        
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 1.8%        
 18,000,000  g  AbbVie, Inc      2.300   11/21/22   18,606,385 
 525,000  g  AbbVie, Inc      3.800   03/15/25   585,394 
 2,285,000  g  Bristol-Myers Squibb Co      2.875   08/15/20   2,291,623 

314

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER     RATE  MATURITY
DATE
  VALUE 
$2,000,000  g  Bristol-Myers Squibb Co      2.875%  02/19/21  $2,034,841 
 3,000,000  g  Bristol-Myers Squibb Co      2.550   05/14/21   3,058,769 
 2,500,000  g  Bristol-Myers Squibb Co      2.600   05/16/22   2,599,275 
 2,000,000     Teva Pharmaceutical Finance Co BV      2.950   12/18/22   1,930,000 
 4,000,000     Teva Pharmaceutical Financial IV BV      3.650   11/10/21   3,995,800 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   35,102,087 
                        
REAL ESTATE - 0.5%
 2,000,000     American Tower Corp      2.250   01/15/22   2,049,911 
 2,000,000     Crown Castle International Corp      5.250   01/15/23   2,225,518 
 2,435,000     Digital Realty Trust LP      3.625   10/01/22   2,570,093 
 850,000     Highwoods Realty LP      3.625   01/15/23   881,772 
 2,500,000     Kimco Realty Corp      3.400   11/01/22   2,600,346 
       TOTAL REAL ESTATE                  10,327,640 
                        
RETAILING - 0.1%
 1,600,000  g  Volkswagen Group of America Finance LLC      3.125   05/12/23   1,682,779 
       TOTAL RETAILING                  1,682,779 
                        
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.3%        
 3,000,000  g  Broadcom, Inc      2.250   11/15/23   3,099,636 
 2,500,000     Texas Instruments, Inc      2.250   09/04/29   2,660,500 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   5,760,136 
                        
SOFTWARE & SERVICES - 0.6%        
 500,000     Activision Blizzard, Inc      2.600   06/15/22   518,755 
 5,000,000     Adobe, Inc      1.900   02/01/25   5,279,876 
 5,146,000     Fiserv, Inc      3.500   10/01/22   5,438,662 
       TOTAL SOFTWARE & SERVICES   11,237,293 
                        
TECHNOLOGY HARDWARE & EQUIPMENT - 0.2%
 1,420,000     Apple, Inc      2.250   02/23/21   1,435,856 
 1,850,000     Apple, Inc      1.700   09/11/22   1,905,951 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   3,341,807 
                        
TELECOMMUNICATION SERVICES - 1.0%
 1,000,000     AT&T, Inc      3.200   03/01/22   1,043,495 
 7,000,000     AT&T, Inc      2.625   12/01/22   7,279,699 
 4,440,000     AT&T, Inc      4.450   04/01/24   4,974,216 
 1,815,000     Verizon Communications, Inc      3.450   03/15/21   1,851,028 
 5,000,000     Verizon Communications, Inc      2.946   03/15/22   5,215,000 
       TOTAL TELECOMMUNICATION SERVICES   20,363,438 
                        
TRANSPORTATION - 0.3%
 3,000,000  g  Adani Ports & Special Economic Zone Ltd      3.950   01/19/22   3,031,277 
 1,100,000     Delta Air Lines, Inc      3.400   04/19/21   1,069,738 
 2,200,000  g  Transnet SOC Ltd      4.000   07/26/22   2,132,321 
       TOTAL TRANSPORTATION       6,233,336 
                        
UTILITIES - 1.0%
 2,000,000  g,h  AIG Global Funding      0.800   07/07/23   2,000,142 
 1,825,000     Berkshire Hathaway Energy Co      2.375   01/15/21   1,845,328 
 3,000,000     Dominion Energy, Inc      2.579   07/01/20   3,000,000 

315

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$3,000,000     DTE Energy Co      2.250%  11/01/22  $3,098,215 
 2,000,000  g  Hanwha Energy USA Holdings Corp      2.375   07/30/22   2,050,518 
 2,000,000  g  KSA Sukuk Ltd      2.894   04/20/22   2,055,891 
 3,050,000     NextEra Energy Capital Holdings, Inc      2.900   04/01/22   3,174,820 
 3,000,000  g  State Grid Overseas Investment Ltd      2.750   05/04/22   3,073,110 
       TOTAL UTILITIES                  20,298,024 
                        
       TOTAL CORPORATE BONDS   632,474,320 
       (Cost $619,077,179)                
                        
GOVERNMENT BONDS - 39.4%
                          
AGENCY SECURITIES - 4.3%
 3,350,000  g  Hospital for Special Surgery      3.500   01/01/23   3,459,687 
 24,000,000     Iraq Government AID International Bond      2.149   01/18/22   24,733,568 
 11,370,000     Montefiore Medical Center      2.152   10/20/26   11,738,596 
 5,900,000     Private Export Funding Corp (PEFCO)      1.750   11/15/24   6,216,153 
 6,315,789     Reliance Industries Ltd      1.870   01/15/26   6,435,426 
 6,000,000     Reliance Industries Ltd      2.060   01/15/26   6,154,401 
 7,894,737     Reliance Industries Ltd      2.444   01/15/26   8,194,915 
 2,044,754     San Clemente Leasing LLC      3.030   11/22/22   2,097,038 
 15,000,000     Ukraine Government AID International Bonds      1.471   09/29/21   15,221,640 
       TOTAL AGENCY SECURITIES      84,251,424 
                        
FOREIGN GOVERNMENT BONDS - 9.6%
 3,325,000  g  Arab Petroleum Investments Corp      4.125   09/18/23   3,593,657 
 815,000    Argentine Republic Government International Bond      6.875   04/22/21   341,078 
 7,000,000  g  Bermuda Government International Bond      4.138   01/03/23   7,350,070 
 4,000,000  g  BNG Bank NV      3.125   11/08/21   4,148,314 
 3,250,000     Brazilian Government International Bond      2.625   01/05/23   3,315,000 
 2,500,000     Brazilian Government International Bond      2.875   06/06/25   2,468,750 
 10,000,000  g  CDP Financial, Inc      0.875   06/10/25   10,073,415 
 9,000,000  g  CPPIB Capital, Inc      2.750   07/22/21   9,233,429 
 166,667  g  Dominican Republic Government International Bond      7.500   05/06/21   172,085 
 1,725,000  g  Egypt Government International Bond      5.577   02/21/23   1,761,441 
 1,500,000  g  Egypt Government International Bond      4.550   11/20/23   1,482,298 
 3,200,000     Export-Import Bank of India      4.000   01/14/23   3,340,693 
 1,700,000  g  Fondo MIVIVIENDA S.A.      3.500   01/31/23   1,744,642 
 500,000  g  Honduras Government International Bond      8.750   12/16/20   508,500 
 1,500,000  g  Honduras Government International Bond      7.500   03/15/24   1,620,765 
 8,900,000  g  International Development Association      2.750   04/24/23   9,503,612 
 1,500,000     Japan Bank for International Cooperation      1.875   04/20/21   1,516,785 
 6,100,000     Japan Bank for International Cooperation      1.750   01/23/23   6,294,329 
 3,000,000  g  Japan Finance Organization for Municipalities      2.000   09/08/20   3,007,410 
 3,200,000  g  Japan Finance Organization for Municipalities      2.125   02/12/21   3,231,581 
 6,650,000  g  Japan Finance Organization for Municipalities      3.375   09/27/23   7,224,518 
 4,500,000  g  Japan Finance Organization for Municipalities      3.000   03/12/24   4,860,946 
 1,150,000  g  Kommunalbanken AS.      1.375   10/26/20   1,153,378 
 3,750,000  g  Kommunalbanken AS.      1.625   02/10/21   3,778,317 
 1,560,000  g  Kommunalbanken AS.      2.750   02/05/24   1,688,831 
 5,667,000  g  Kommuninvest I Sverige AB      2.625   09/15/22   5,951,653 
 2,000,000  i  Korea Development Bank  LIBOR 3 M + 0.550%   0.868   03/12/21   1,999,397 
 1,400,000  g  Korea Electric Power Corp      1.125   06/15/25   1,402,210 
 6,700,000  g  Korea Housing Finance Corp      2.000   10/11/21   6,796,206 

316

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,875,000  g  Korea Housing Finance Corp      3.000%  10/31/22  $1,958,595 
 500,000  g  Kuwait Government International Bond      2.750   03/20/22   515,276 
 2,025,000  g  Morocco Government International Bond      4.250   12/11/22   2,131,167 
 1,500,000  g  Namibia International Bonds      5.500   11/03/21   1,500,163 
 400,000  g  Nederlandse Waterschapsbank NV      2.125   11/15/21   409,600 
 5,950,000  g  OMERS Finance Trust      2.500   05/02/24   6,351,524 
 15,000,000  g  Ontario Teachers’ Finance Trust      1.625   09/12/24   15,532,943 
 2,000,000  g  Perusahaan Penerbit SBSN Indonesia III      3.400   03/29/22   2,060,160 
 5,000,000  g  Perusahaan Penerbit SBSN Indonesia III      3.750   03/01/23   5,228,300 
 3,400,000  g  Perusahaan Penerbit SBSN Indonesia III      3.900   08/20/24   3,625,216 
 1,300,000     Province of New Brunswick Canada      8.750   05/01/22   1,480,991 
 3,000,000  g  Qatar Government International Bond      3.375   03/14/24   3,210,065 
 4,000,000  g  Qatar Government International Bond      4.000   03/14/29   4,590,874 
 6,800,000     Republic of Italy Government International Bond   2.375   10/17/24   6,882,117 
 1,500,000  g  Republic of Paraguay Government International Bond      4.625   01/25/23   1,575,015 
 2,000,000  g  Republic of Uzbekistan Government International Bond   4.750   02/20/24   2,104,072 
 5,625,000  g  Saudi Government International Bond      2.375   10/26/21   5,703,507 
 500,000  g  Senegal Goverment International Bond      8.750   05/13/21   515,699 
 6,500,000     Svensk Exportkredit AB      1.750   03/10/21   6,566,539 
 6,540,000     Svensk Exportkredit AB      1.750   12/12/23   6,835,382 
       TOTAL FOREIGN GOVERNMENT BONDS      188,340,515 
                        
MORTGAGE BACKED - 3.3%
 12,914  i  Federal Home Loan Mortgage Corp (FHLMC)  LIBOR 1 M + 0.400%   0.585   12/15/20   12,916 
 3,159     Federal National Mortgage Association (FNMA)     5.500   09/25/22   3,258 
 5,701     FNMA      5.000   09/25/24   68 
 20,000,000     FNMA      0.500   06/17/25   20,008,764 
 9,012  i  FNMA  LIBOR 1 M + 0.300%   0.485   11/25/34   9,013 
 20,380,000  h  Government National Mortgage Association (GNMA)     1.730   07/20/37   20,434,136 
 22,969,300     GNMA     4.250   09/15/38   25,081,314 
       TOTAL MORTGAGE BACKED   65,549,469 
                        
MUNICIPAL BONDS - 2.2%
 5,000,000     Bay Area Toll Authority      2.254   04/01/24   5,213,250 
 19,755,000     City of New York NY      2.280   08/01/25   20,607,428 
 10,000,000     Massachusetts Water Resources Authority      2.083   08/01/25   10,475,700 
 6,000,000     Massachusetts Water Resources Authority      3.104   08/01/39   6,320,700 
       TOTAL MUNICIPAL BONDS   42,617,078 
                        
U.S. TREASURY SECURITIES - 20.0%
 48,010,000     United States Treasury Note      1.750   07/31/21   48,823,919 
 59,505,000     United States Treasury Note      1.500   09/30/21   60,488,227 
 27,750,000     United States Treasury Note      1.625   12/31/21   28,353,779 
 23,150,000     United States Treasury Note      0.125   06/30/22   23,136,436 
 121,480,000     United States Treasury Note      0.250   06/15/23   121,736,248 
 57,510,000     United States Treasury Note      0.250   06/30/25   57,397,676 
 31,000,000     United States Treasury Note      1.875   07/31/26   33,729,453 
 20,000,000     United States Treasury Note      0.500   05/31/27   20,021,094 
       TOTAL U.S. TREASURY SECURITIES   393,686,832 
                        
       TOTAL GOVERNMENT BONDS   774,445,318 
       (Cost $757,827,673)                
317

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
STRUCTURED ASSETS - 23.6%
 
ASSET BACKED - 9.5%        
$124,346     Aames Mortgage Trust (Step Bond)      7.396%  06/25/32  $125,404 
       Series - 2002 1 (Class A3)                
 55,677  †,g  Asset Backed Funding Corp NIM Trust      5.900   07/26/35   1 
       Series - 2005 WMC1 (Class N1)                
 1,855,377  i  Asset Backed Securities Corp Home Equity Loan Trust  LIBOR 1 M + 1.650%   1.835   03/15/32   1,836,965 
       Series - 2002 HE1 (Class M1)                
 393,071  g  Avid Automobile Receivables Trust      2.840   08/15/23   394,173 
       Series - 2018 1 (Class A)                
 1,372,056  g  Bank of The West Auto Trust      2.110   01/15/23   1,382,244 
       Series - 2017 1 (Class A3)                
 930,570  i  Bear Stearns Asset Backed Securities Trust  LIBOR 1 M + 1.230%   1.415   08/25/43   907,973 
       Series - 2005 SD1 (Class 1M3)                
 1,882,076  g  Capital Automotive REIT      3.870   04/15/47   1,883,866 
       Series - 2017 1A (Class A1)                
 2,500,000  i  Capital One Multi-Asset Execution Trust  LIBOR 1 M + 0.630%   0.815   02/15/24   2,509,586 
       Series - 2016 A2 (Class A2)                
 3,140,000     Carmax Auto Owner Trust      3.360   09/15/23   3,237,507 
       Series - 2018 4 (Class A3)                
 1,615,000     Carmax Auto Owner Trust      3.050   03/15/24   1,667,241 
       Series - 2019 1 (Class A3)                
 3,882,646  †,g  CDO Repack SPC Ltd      1.000   05/20/30   4,052,512 
       Series - 2006 CLF1 (Class D1)                
 3,076     Centex Home Equity      5.540   01/25/32   3,150 
       Series - 2002 A (Class AF6)                
 68,832  i  Centex Home Equity  LIBOR 1 M + 0.645%   0.830   03/25/34   65,999 
       Series - 2004 B (Class M1)                
 122,341  i  Chase Funding Mortgage Loan Asset-Backed Certificates      5.700   02/26/35   128,018 
       Series - 2004 2 (Class 1M2)                
 4,000,000  i  Chase Issuance Trust  LIBOR 1 M + 0.550%   0.735   06/15/23   4,014,438 
       Series - 2016 A3 (Class A3)                
 219,772  g  CIG Auto Receivables Trust      2.710   05/15/23   220,149 
       Series - 2017 1A (Class A)                
 2,000,000  i  Citibank Credit Card Issuance Trust  LIBOR 1 M + 0.370%   0.545   08/08/24   2,006,594 
       Series - 2017 A7 (Class A7)                
 2,000,000  i  Citibank Credit Card Issuance Trust  LIBOR 1 M + 0.330%   0.520   01/20/25   2,003,199 
       Series - 2018 A2 (Class A2)                
 1,649,998  g,i  Citigroup Mortgage Loan Trust  LIBOR 1 M + 0.145%   2.631   09/25/36   1,543,191 
       Series - 2006 AMC1 (Class A1)                
 194,689  g  Conn’s Receivables Funding      3.250   01/15/23   193,606 
       Series - 2018 A (Class A)                
 865,066  g  Credit-Based Asset Servicing & Securitization LLC (Step Bond)      5.184   12/25/37   882,507 
       Series - 2007 SP1 (Class A4)                
 3,500,000  i  Discover Card Execution Note Trust  LIBOR 1 M + 0.230%   0.415   12/15/23   3,503,819 
       Series - 2018 A3 (Class A3)                
 2,000,000  i  Discover Card Execution Note Trust  LIBOR 1 M + 0.330%   0.515   08/15/25   2,006,357 
       Series - 2018 A2 (Class A2)                
 2,437,500  g,i  Domino’s Pizza Master Issuer LLC  LIBOR 3 M + 1.250%   2.241   07/25/47   2,416,074 
          Series - 2017 1A (Class A2I)                        

318

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$ 14,625,000   g   Domino’s Pizza Master Issuer LLC         3.082 %   07/25/47   $ 14,937,682  
       Series - 2017 1A (Class A2II)                
 3,500,000     Drive Auto Receivables Trust      0.830   05/15/24   3,509,843 
       Series - 2020 2 (Class A3)                
 716,936     Entergy Louisiana Investment Recovery Funding I LLC      2.040   09/01/23   719,086 
       Series - 2011 A (Class A1)                
 207,966     Fifth Third Auto Trust      1.800   02/15/22   208,465 
       Series - 2017 1 (Class A3)                
 3,000,000     Ford Credit Auto Owner Trust      1.040   08/15/24   3,031,214 
       Series - 2020 A (Class A3)                
 2,000,000     Ford Credit Auto Owner Trust      1.350   07/15/25   2,040,471 
       Series - 2020 A (Class A4)                
 2,300,000  g  Ford Credit Auto Owner Trust      2.310   08/15/27   2,321,432 
       Series - 2016 1 (Class A)                
 311,298  g  GLS Auto Receivables Trust      2.820   07/15/22   312,257 
       Series - 2018 1A (Class A)                
 2,422,247     GM Financial Consumer Automobile Receivables Trust      3.210   10/16/23   2,479,486 
       Series - 2018 4 (Class A3)                
 4,262,955  g  Hilton Grand Vacations Trust      3.540   02/25/32   4,342,688 
       Series - 2018 AA (Class A)                
 6,328,249  g  Hilton Grand Vacations Trust      2.740   02/25/39   6,386,100 
       Series - 2020 AA (Class A)                
 2,160,000     Honda Auto Receivables Owner Trust      2.830   03/20/23   2,219,183 
       Series - 2019 1 (Class A3)                
 1,915,462  g,i  Invitation Homes Trust  LIBOR 1 M + 0.900%   1.085   06/17/37   1,891,175 
       Series - 2018 SFR2 (Class A)                
 9,286,570  g,i  Invitation Homes Trust  LIBOR 1 M + 1.000%   1.194   07/17/37   9,217,530 
       Series - 2018 SFR3 (Class A)                
 1,563,000  g,i  Invitation Homes Trust  LIBOR 1 M + 1.650%   1.844   01/17/38   1,525,960 
       Series - 2018 SFR4 (Class D)                
 1,000,000  g,i  Irvine Core Office Trust      3.279   05/15/48   1,035,713 
       Series - 2013 IRV (Class A2)                
 1,108,668  g  Mid-State Capital Trust      7.000   12/15/45   1,161,947 
       Series - 2010 1 (Class B)                
 8,000,000  g  MMAF Equipment Finance LLC      2.010   12/12/24   8,247,698 
       Series - 2019 B (Class A3)                
 13,492,047  g  MVW Owner Trust      2.220   10/20/38   13,488,164 
       Series - 2019 2A (Class A)                
 1,702,466  g  MVW Owner Trust      2.440   10/20/38   1,554,672 
       Series - 2019 2A (Class B)                
 1,330,253  g  New Residential Mortgage LLC      4.690   05/25/23   1,288,813 
       Series - 2018 FNT1 (Class D)                
 1,227,221  g  New Residential Mortgage LLC      4.920   07/25/54   1,178,499 
       Series - 2018 FNT2 (Class D)                
 2,909,179  i  Park Place Securities, Inc  LIBOR 1 M + 1.245%   1.430   01/25/36   2,888,370 
       Series - 2005 WCH1 (Class M4)                
 8,302,125  g  Planet Fitness Master Issuer LLC      4.262   09/05/48   8,338,322 
       Series - 2018 1A (Class A2I)                
 2,210,687  g  Progress Residential Trust      2.768   08/17/34   2,245,017 
       Series - 2017 SFR1 (Class A)                
 958,053  g  SoFi Professional Loan Program LLC      2.360   12/27/32   967,001 
          Series - 2016 C (Class A2B)                        
319

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$ 1,399,073   g   SoFi Professional Loan Program LLC         2.340 %   04/25/33   $ 1,418,972  
       Series - 2016 D (Class A2B)                
 1,013,649  g  SoFi Professional Loan Program LLC      2.510   08/25/33   1,021,840 
       Series - 2015 C (Class A2)                
 593,380  g  SoFi Professional Loan Program LLC      2.630   07/25/40   600,782 
       Series - 2017 C (Class A2B)                
 1,100,000     Synchrony Card Issuance Trust      3.380   09/15/24   1,132,622 
       Series - 2018 A1 (Class A)                
 1,044,739  g  Tax Ease Funding LLC      3.131   06/15/28   1,047,370 
       Series - 2016 1A (Class A)                
 189,080  g  TCF Auto Receivables Owner Trust      1.930   06/15/22   189,439 
       Series - 2016 PT1A (Class A)                
 2,528,000  g  TCF Auto Receivables Owner Trust      2.920   10/17/22   2,550,960 
       Series - 2016 PT1A (Class B)                
 9,019,111  g  TES LLC      4.330   10/20/47   8,919,577 
       Series - 2017 1A (Class A)                
 3,000,000     Toyota Auto Receivables Owner      2.050   09/15/22   3,029,086 
       Series - 2017 B (Class A4)                
 1,990,000     Toyota Auto Receivables Owner      3.180   03/15/23   2,041,343 
       Series - 2018 D (Class A3)                
 2,900,000  g  Tricon American Homes Trust      4.878   11/17/33   2,896,884 
       Series - 2016 SFR1 (Class E)                
 2,149,667  g  Tricon American Homes Trust      2.716   09/17/34   2,188,544 
       Series - 2017 SFR1 (Class A)                
 195,847     US Airways Pass Through Trust      7.076   03/20/21   184,925 
       Series - 2001 1G (Class )                
 10,905,000     Verizon Owner Trust      3.380   04/20/23   11,254,993 
       Series - 2018 A (Class B)                
 9,000,000     Verizon Owner Trust      3.020   09/20/23   9,354,233 
       Series - 2019 A (Class B)                
 3,500,000     Volkswagen Auto Loan Enhanced Trust      0.980   11/20/24   3,534,533 
       Series - 2020 1 (Class A3)                
 1,500,000     Volkswagen Auto Loan Enhanced Trust      1.260   08/20/26   1,525,918 
       Series - 2020 1 (Class A4)                
       TOTAL ASSET BACKED                  187,413,382 
                        
OTHER MORTGAGE BACKED - 14.1%        
 7,650,126  g  1166 Avenue of the Americas Commercial Mortgage Trust II      5.690   10/13/37   8,023,314 
       Series - 2005 C6A (Class A1)                
 1,500,000  g,i  20 Times Square Trust      3.203   05/15/35   1,465,396 
       Series - 2018 20TS (Class B)                
 374,732  g,i  ACE Securities Corp Manufactured Housing Trust      6.500   08/15/30   403,812 
       Series - 2003 MH1 (Class M1)                
 3,145,000  g,i  Angel Oak Mortgage Trust      3.161   12/25/59   2,959,946 
       Series - 2020 1 (Class M1)                
 142,389  i  Banc of America Funding  LIBOR 1 M + 0.800%   0.990   02/20/35   142,165 
       Series - 2005 A (Class 5A3)                
 3,000,000  g,i  BBCMS Trust      4.427   09/10/28   2,993,719 
       Series - 2015 STP (Class C)                
 1,600,331  i  Bear Stearns ALT-A Trust  LIBOR 1 M + 0.600%   0.785   06/25/34   1,589,190 
       Series - 2004 4 (Class A1)                
 2,893,791  i  Bear Stearns Commercial Mortgage Securities Trust      5.143   09/11/42   2,892,841 
          Series - 2005 PWR9 (Class E)                        
320

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$ 2,388,501   g,i   BX Commercial Mortgage Trust   LIBOR 1 M + 1.250%     1.435 %   10/15/36   $ 2,334,690  
       Series - 2019 XL (Class C)                
 6,325,284  g,i  Chase Mortgage Trust      3.750   12/25/45   6,379,405 
       Series - 2016 SH2 (Class M2)                
 28,027     Citicorp Mortgage Securities Trust      5.500   02/25/26   28,322 
       Series - 2006 1 (Class 5A1)                
 1,124,631  g,i  COMM Mortgage Trust      3.577   08/10/29   1,113,965 
       Series - 2016 GCT (Class D)                
 3,623,360  g  COMM Mortgage Trust      3.397   03/10/46   3,642,986 
       Series - 2013 CR6 (Class B)                
 2,014,904     COMM Mortgage Trust      4.701   03/10/47   2,093,291 
       Series - 2014 UBS2 (Class B)                
 3,300,000  i  COMM Mortgage Trust      4.703   08/10/47   3,416,490 
       Series - 2014 CR19 (Class B)                
 1,500,000  g,i  COMM Mortgage Trust      4.888   08/10/47   938,382 
       Series - 2014 CR19 (Class D)                
 3,000,000  i  COMM Mortgage Trust      3.463   08/10/48   2,249,207 
       Series - 2015 CR24 (Class D)                
 3,970,000  i  COMM Mortgage Trust      4.690   08/10/48   4,161,993 
       Series - 2015 CR25 (Class B)                
 1,000,000  g,i  Commercial Mortgage Lease-Backed Certificates      8.054   06/20/31   1,021,630 
       Series - 2001 CMLB (Class C)                
 1,676,848  i  Connecticut Avenue Securities  LIBOR 1 M + 2.600%   2.785   05/25/24   1,466,379 
       Series - 2014 C02 (Class 1M2)                
 6,827,746  i  Connecticut Avenue Securities  LIBOR 1 M + 3.000%   3.185   07/25/24   5,978,681 
       Series - 2014 C03 (Class 1M2)                
 4,537,340  i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   1.035   09/25/29   4,093,598 
       Series - 2017 C02 (Class 2ED4)                
 2,554,699  i  Connecticut Avenue Securities  LIBOR 1 M + 2.650%   2.835   02/25/30   2,532,590 
       Series - 2017 C06 (Class 1M2)                
 1,597,931  i  Connecticut Avenue Securities  LIBOR 1 M + 0.900%   1.085   08/25/30   1,528,527 
       Series - 2018 C02 (Class 2EA2)                
 6,400,614  i  Connecticut Avenue Securities  LIBOR 1 M + 0.850%   1.035   10/25/30   6,303,697 
       Series - 2018 C03 (Class 1EA2)                
 3,880,022  g,i  Connecticut Avenue Securities  LIBOR 1 M + 2.000%   2.185   07/25/39   3,794,980 
       Series - 2019 R05 (Class 1M2)                
 896,117  g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.750%   0.935   01/25/40   886,512 
       Series - 2020 R02 (Class 2M1)                
 9,742,641  g,i  Connecticut Avenue Securities  LIBOR 1 M + 0.800%   0.985   01/25/40   9,687,224 
       Series - 2020 R01 (Class 1M1)                
 2,713,267  g  Credit Suisse Commercial Mortgage Trust      3.304   09/15/37   2,693,913 
       Series - 2014 USA (Class A1)                
 12,000,000  g,i  Credit Suisse Commercial Mortgage Trust      5.896   01/15/49   14,251,800 
       Series - 2007 C2 (Class C)                
 213,571     Credit Suisse First Boston Mortgage Securities Corp      5.750   09/25/33   218,427 
       Series - 2003 23 (Class 3A4)                
 2,775,000  g,i  DBUBS Mortgage Trust      5.714   07/10/44   2,310,946 
       Series - 2011 LC2A (Class D)                
 3,800,000  g,i  DBUBS Mortgage Trust      5.714   07/10/44   3,766,774 
       Series - 2011 LC2A (Class C)                
 1,120,000  g,i  DBUBS Mortgage Trust      5.876   11/10/46   1,093,498 
       Series - 2011 LC1A (Class D)                
 3,000,000  g,i  DBUBS Mortgage Trust      5.876   11/10/46   2,896,676 
          Series - 2011 LC1A (Class E)                        
321

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$ 205,472       Deutsche Mortgage Securities, Inc Mortgage Loan Trust (Step Bond)         5.440 %   07/25/34   $ 206,913  
       Series - 2004 5 (Class A5B)                
 1,206,495  g,i  Flagstar Mortgage Trust      3.500   10/25/47   1,221,373 
       Series - 2017 2 (Class A5)                
 229,215  g,i  Flagstar Mortgage Trust      4.000   07/25/48   229,611 
       Series - 2018 4 (Class A4)                
 776,480  g,i  Galton Funding Mortgage Trust      4.500   10/25/58   794,839 
       Series - 2018 2 (Class A41)                
 1,050,000  g  GS Mortgage Securities Corp II      3.419   10/10/32   1,050,227 
       Series - 2017 SLP (Class A)                
 3,000,000  g  GS Mortgage Securities Corp II      2.954   11/05/34   2,982,138 
       Series - 2012 BWTR (Class A)                
 2,598,000  g,i  GS Mortgage Securities Corp II      4.549   02/10/46   2,271,618 
       Series - 2013 GC10 (Class D)                
 4,500,000  g,i  GS Mortgage Securities Trust  LIBOR 1 M + 1.090%   1.275   10/15/31   4,262,816 
       Series - 2018 HART (Class A)                
 1,000,000  g,i  GS Mortgage Securities Trust      3.668   07/10/52   1,022,420 
       Series - 2019 GC40 (Class DBC)                
 424,926     IMC Home Equity Loan Trust (Step Bond)      5.432   08/20/29   442,517 
       Series - 1998 3 (Class A7)                
 113,311  i  Impac CMB Trust  LIBOR 1 M + 0.660%   0.845   03/25/35   106,993 
       Series - 2004 11 (Class 2A1)                
 1,731,509  g  JP Morgan Chase Commercial Mortgage Securities Corp      4.717   02/15/46   1,750,258 
       Series - 2011 C3 (Class A4)                
 6,170,000  g,i  JP Morgan Chase Commercial Mortgage Securities Corp      5.360   02/15/46   5,642,977 
       Series - 2011 C3 (Class C)                
 600,000  g  JP Morgan Chase Commercial Mortgage Securities Trust      4.021   07/05/32   598,747 
       Series - 2012 HSBC (Class C)                
 1,805,434  g  JP Morgan Chase Commercial Mortgage Securities Trust      4.070   11/15/43   1,803,570 
       Series - 2010 C2 (Class A3)                
 3,843,000  i  JP Morgan Chase Commercial Mortgage Securities Trust      4.214   01/15/46   3,847,798 
       Series - 2013 C13 (Class C)                
 2,000,000  g,i  JP Morgan Chase Commercial Mortgage Securities Trust      5.013   02/15/46   1,949,240 
       Series - 2011 C3 (Class B)                
 6,510,728  g,i  JP Morgan Mortgage Trust      3.500   01/25/47   6,723,635 
       Series - 2017 1 (Class A3)                
 4,021,732  g,i  JP Morgan Mortgage Trust      3.500   08/25/47   4,069,468 
       Series - 2017 3 (Class 1A5)                
 291,473  g,i  JP Morgan Mortgage Trust      4.000   02/25/49   294,053 
       Series - 2018 9 (Class A5)                
 1,249,948  g,i  JP Morgan Mortgage Trust      4.000   02/25/49   1,250,742 
       Series - 2018 9 (Class A15)                
 422,136     JPMBB Commercial Mortgage Securities Trust      3.657   09/15/47   441,144 
       Series - 2014 C23 (Class ASB)                
 1,901,936  g  Morgan Stanley Bank of America Merrill Lynch Trust      3.989   12/15/46   1,971,552 
       Series - 2014 C19 (Class LNC1)                
322

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$282,758  i  Morgan Stanley Capital I Trust  LIBOR 1 M + 0.825%   1.010%  08/25/34  $279,035 
       Series - 2004 HE6 (Class M1)                
 2,300,613  g,i  Morgan Stanley Capital I Trust      6.038   06/12/47   2,286,041 
       Series - 2005 T19 (Class G)                
 433,963  g,i  Morgan Stanley Dean Witter Capital I Trust      7.587   07/15/33   441,924 
       Series - 2001 TOP3 (Class E)                
 1,000,000  g,i  Natixis Commercial Mortgage Securities Trust      3.917   11/15/32   1,002,640 
       Series - 2018 285M (Class C)                
 2,500,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 1.500%   1.685   07/15/36   2,449,965 
       Series - 2019 MILE (Class A)                
 7,500,000  g,i  Natixis Commercial Mortgage Securities Trust  LIBOR 1 M + 2.200%   2.385   07/15/36   7,115,746 
       Series - 2019 MILE (Class C)                
 1,000,000  g  Natixis Commercial Mortgage Securities Trust      2.966   12/15/38   1,041,185 
       Series - 2020 2PAC (Class A)                
 982,507  g,i  New Residential Mortgage Loan Trust      3.750   05/28/52   1,048,736 
       Series - 2015 1A (Class A3)                
 1,023,136  g,i  New Residential Mortgage Loan Trust      3.750   05/25/54   1,093,043 
       Series - 2014 2A (Class A3)                
 599,026  g,i  New Residential Mortgage Loan Trust      3.750   11/25/54   639,385 
       Series - 2014 3A (Class AFX3)                
 1,134,223  g,i  New Residential Mortgage Loan Trust      3.750   03/25/56   1,204,950 
       Series - 2016 1A (Class A1)                
 1,299,471  g,i  New Residential Mortgage Loan Trust      4.000   02/25/57   1,389,419 
       Series - 2017 1A (Class A1)                
 1,732,878  g,i  New Residential Mortgage Loan Trust      4.000   12/25/57   1,836,355 
       Series - 2018 1A (Class A1A)                
 1,364,281  g,i  New Residential Mortgage Loan Trust      4.750   12/25/57   1,456,047 
       Series - 2018 5A (Class A1)                
 2,000,000  g  RBS Commercial Funding, Inc Trust      3.511   03/11/31   1,790,222 
       Series - 2013 SMV (Class B)                
 1,505,367  g  Sequoia Mortgage Trust      4.000   12/25/43   1,587,219 
       Series - 2013 12 (Class A1)                
 201,271  g,i  Sequoia Mortgage Trust      3.500   02/25/47   206,380 
       Series - 2017 1 (Class A4)                
 497,823  g,i  Sequoia Mortgage Trust      3.500   02/25/47   508,528 
       Series - 2017 2 (Class A4)                
 4,108,819  g,i  Sequoia Mortgage Trust      3.500   02/25/47   4,210,870 
       Series - 2017 2 (Class A10)                
 6,781,201  g,i  Sequoia Mortgage Trust      3.500   04/25/47   6,879,711 
       Series - 2017 3 (Class A4)                
 6,923,071  g,i  Sequoia Mortgage Trust      3.500   09/25/47   7,028,349 
       Series - 2017 6 (Class A4)                
 22,599,296  g,i  Sequoia Mortgage Trust      3.500   03/25/48   22,984,913 
       Series - 2018 3 (Class A4)                
 2,129,913  g,i  Sequoia Mortgage Trust      4.000   02/25/49   2,148,944 
       Series - 2019 1 (Class A4)                
 13,159,578  g,i  Sequoia Mortgage Trust      3.500   02/25/50   13,430,057 
       Series - 2020 1 (Class A4)                
 1,857,104  g,i  Sequoia Mortgage Trust      3.500   03/25/50   1,913,972 
       Series - 2020 2 (Class A4)                
 3,755,919  g,i  Shellpoint Co-Originator Trust      3.500   04/25/47   3,818,141 
       Series - 2017 1 (Class A4)                
 515,253  g,i  Shellpoint Co-Originator Trust      3.500   10/25/47   525,000 
       Series - 2017 2 (Class A4)                

323

TIAA-CREF FUNDS – Short-Term Bond Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$1,291,949  i  Structured Adjustable Rate Mortgage Loan Trust  LIBOR 1 M + 0.370%   0.555%  07/25/34  $1,287,325 
       Series - 2004 9XS (Class A)                
 247,359  i  Structured Agency Credit Risk Debt Note (STACR)  LIBOR 1 M + 1.300%   1.485   03/25/29   247,086 
       Series - 2016 DNA4 (Class M2)                
 256,814  i  STACR  LIBOR 1 M + 1.300%   1.485   04/25/29   256,462 
       Series - 2016 HQA4 (Class M2)                
 5,000,000  i  STACR  LIBOR 1 M + 3.250%   3.435   07/25/29   5,043,671 
       Series - 2017 DNA1 (Class M2)                
 5,504,383  i  STACR  LIBOR 1 M + 1.200%   1.385   10/25/29   5,509,188 
       Series - 2017 DNA2 (Class M1)                
 953,566  i  STACR  LIBOR 1 M + 0.750%   0.935   03/25/30   953,565 
       Series - 2017 DNA3 (Class M1)                
 1,060,157  i  STACR  LIBOR 1 M + 2.350%   2.535   04/25/30   1,056,254 
       Series - HQA3 (Class M2)                
 1,066,601  g,i  STACR      3.726   02/25/48   1,066,664 
       Series - 2018 SPI1 (Class M1)                
 3,723,000  g,i  UBS-Citigroup Commercial Mortgage Trust      6.252   01/10/45   3,520,923 
       Series - 2011 C1 (Class B)                
 1,480,151  g,i  Verus Securitization Trust      4.108   10/25/58   1,513,805 
       Series - 2018 3 (Class A1)                
 2,460,000  g,i  VNDO Mortgage Trust      4.079   12/13/29   2,454,025 
       Series - 2013 PENN (Class B)                
 390,256  i  Wachovia Bank Commercial Mortgage Trust      5.748   04/15/47   380,599 
       Series - 2007 C31 (Class F)                
 1,274,000     Wells Fargo Commercial Mortgage Trust      3.539   10/15/45   1,316,103 
       Series - 2012 LC5 (Class AS)                
 896,000  g,i  Wells Fargo Commercial Mortgage Trust      4.918   10/15/45   875,294 
       Series - 2012 LC5 (Class D)                
 1,908,562  g  WFRBS Commercial Mortgage Trust      4.375   03/15/44   1,927,771 
       Series - 2011 C3 (Class A4)                
 2,000,000  i  WFRBS Commercial Mortgage Trust      3.714   03/15/45   2,021,917 
       Series - 2013 C11 (Class B)                
 2,500,000  i  WFRBS Commercial Mortgage Trust      4.204   11/15/47   2,241,666 
       Series - 2014 C24 (Class B)                
       TOTAL OTHER MORTGAGE BACKED              278,278,710 
                        
       TOTAL STRUCTURED ASSETS              465,692,092 
       (Cost $472,123,382)                
                        
       TOTAL BONDS              1,872,611,730 
       (Cost $1,849,028,234)                
                        
SHORT-TERM INVESTMENTS - 4.2%
 
REPURCHASE AGREEMENT - 2.1%
 42,030,000  r  Fixed Income Clearing Corp      0.070   07/01/20   42,030,000 
       TOTAL REPURCHASE AGREEMENT        42,030,000 
                        
TREASURY DEBT - 2.1%
 20,000,000     United States Treasury Bill      0.010   07/07/20   19,999,591 
 20,770,000     United States Treasury Bill      0.130   07/30/20   20,767,867 
       TOTAL TREASURY DEBT              40,767,458 
324

TIAA-CREF FUNDS – Short-Term Bond Fund

 

                  VALUE 
       TOTAL SHORT-TERM INVESTMENTS  $82,797,458 
       (Cost $82,797,525)                
                        
       TOTAL INVESTMENTS - 100.6%   1,982,575,150 
       (Cost $1,960,559,325)                
       OTHER ASSETS & LIABILITIES, NET - (0.6)%   (12,054,036)
       NET ASSETS - 100.0%             $1,970,521,114 
             
           
          Abbreviation(s):
  DGS1       1-Year Treasury Constant Maturity Rate
  LIBOR       London Interbank Offered Rate
  M       Month
  REIT       Real Estate Investment Trust
           
        Security is categorized as Level 3 in the fair value hierarchy.
  g       Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $685,759,101 or 34.8% of net assets.
  h       All or a portion of these securities were purchased on a delayed delivery basis.
  i       Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
  r       Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $42,030,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $42,870,662.
           

Futures contracts outstanding as of June 30, 2020 were as follows:

 

Description  Number of long
(short)
contracts
   Expiration date  Notional amount   Value Unrealized
appreciation (depreciation)
 
US Long Bond   (40)  09/21/20  $(7,111,873)  $(7,142,500)   $(30,627)
US 10 Year Note (CBT)   (255)  09/21/20   (35,418,617)   (35,488,828)   (70,211)
Total   (295)     $(42,530,490)  $(42,631,328)  $(100,838)
325

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

TIAA-CREF FUNDS

SHORT-TERM BOND INDEX FUND

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2020

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
BONDS - 99.4%
                     
CORPORATE BONDS - 24.1%
                        
AUTOMOBILES & COMPONENTS - 0.1%
$200,000     General Motors Co      5.400%  10/02/23  $216,655 
 100,000     Toyota Motor Corp      3.183   07/20/21   102,738 
 250,000     Toyota Motor Corp      2.157   07/02/22   257,544 
       TOTAL AUTOMOBILES & COMPONENTS           576,937 
                        
BANKS - 6.5%
 400,000     Banco Santander S.A.      3.125   02/23/23   417,152 
 200,000     Banco Santander S.A.      3.848   04/12/23   212,748 
 250,000     Bank of America Corp      2.369   07/21/21   250,231 
 300,000     Bank of America Corp      2.738   01/23/22   303,331 
 300,000     Bank of America Corp      3.499   05/17/22   307,127 
 200,000     Bank of America Corp      2.503   10/21/22   204,756 
 500,000     Bank of America Corp      3.300   01/11/23   532,440 
 1,950,000     Bank of America Corp      2.881   04/24/23   2,021,407 
 500,000     Bank of America Corp      3.550   03/05/24   534,271 
 500,000     Bank of America Corp      1.486   05/19/24   507,967 
 250,000     Bank of America NA      3.335   01/25/23   260,910 
 250,000     Bank of New York Mellon Corp      1.850   01/27/23   258,513 
 200,000     Bank of Nova Scotia      3.125   04/20/21   204,442 
 300,000     Bank of Nova Scotia      2.700   03/07/22   310,868 
 300,000     Bank of Nova Scotia      2.000   11/15/22   309,539 
 150,000     Bank of Nova Scotia      2.375   01/18/23   156,114 
 500,000     Bank of Nova Scotia      1.950   02/01/23   515,033 
 250,000     Bank of Nova Scotia      1.625   05/01/23   255,902 
 200,000     Bank of Nova Scotia      4.650   N/A‡   188,622 
 200,000     Barclays Bank plc      2.650   01/11/21   201,979 
 500,000     Barclays Bank plc      1.700   05/12/22   508,805 
 200,000     Barclays plc      3.250   01/12/21   202,595 
 850,000     Barclays plc      4.610   02/15/23   895,001 
 250,000     BBVA USA      3.500   06/11/21   255,434 
 200,000     Canadian Imperial Bank of Commerce      2.606   07/22/23   206,727 
 100,000     CitiBank NA      2.125   10/20/20   100,385 
 250,000     CitiBank NA      3.400   07/23/21   257,567 
 500,000     CitiBank NA      2.844   05/20/22   509,933 
 200,000     Citigroup, Inc      2.700   03/30/21   203,256 
 500,000     Citigroup, Inc      2.750   04/25/22   518,335 
 510,000     Citigroup, Inc      2.700   10/27/22   532,640 
 100,000     Citigroup, Inc      2.312   11/04/22   102,131 
 300,000     Citigroup, Inc      3.142   01/24/23   310,266 
 750,000  i  Citigroup, Inc  LIBOR 3 M + 0.950%   2.876   07/24/23   780,551 
 1,250,000     Citigroup, Inc      1.678   05/15/24   1,274,335 
 250,000     Citizens Bank NA      3.250   02/14/22   258,909 
 700,000     Cooperatieve Rabobank UA      3.875   02/08/22   739,000 
326

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$250,000     Cooperatieve Rabobank UA/NY   3.125%  04/26/21  $255,668 
 250,000     Cooperatieve Rabobank UA/NY   2.750   01/10/23   263,328 
 500,000     Discover Bank   3.350   02/06/23   527,438 
 500,000     Fifth Third Bancorp   1.625   05/05/23   512,854 
 500,000     Fifth Third Bank   2.250   06/14/21   508,017 
 200,000     Fifth Third Bank   3.350   07/26/21   205,516 
 250,000     Fifth Third Bank   1.800   01/30/23   256,692 
 250,000     First Horizon National Corp   3.550   05/26/23   257,970 
 250,000     First Republic Bank   1.912   02/12/24   255,815 
 175,000     FNB Corp   2.200   02/24/23   173,980 
 1,000,000     HSBC Holdings plc   2.950   05/25/21   1,021,119 
 350,000     HSBC Holdings plc   4.000   03/30/22   369,962 
 500,000     HSBC Holdings plc   3.262   03/13/23   517,996 
 380,000     HSBC Holdings plc   3.033   11/22/23   397,018 
 500,000     HSBC Holdings plc   3.950   05/18/24   537,353 
 250,000     Huntington National Bank   3.250   05/14/21   255,563 
 250,000     Huntington National Bank   3.125   04/01/22   260,679 
 250,000     Huntington National Bank   1.800   02/03/23   257,396 
 300,000     Industrial & Commercial Bank of China Ltd   2.957   11/08/22   311,075 
 200,000     ING Groep NV   3.150   03/29/22   207,929 
 1,000,000     JPMorgan Chase & Co   2.400   06/07/21   1,017,051 
 140,000     JPMorgan Chase & Co   3.250   09/23/22   148,161 
 500,000     JPMorgan Chase & Co   3.200   01/25/23   531,615 
 1,450,000     JPMorgan Chase & Co   3.207   04/01/23   1,509,727 
 250,000     JPMorgan Chase & Co   2.776   04/25/23   258,833 
 1,000,000     JPMorgan Chase & Co   3.559   04/23/24   1,072,200 
 500,000     JPMorgan Chase & Co   1.514   06/01/24   508,086 
 250,000     KeyBank NA   3.300   02/01/22   260,501 
 250,000     KeyBank NA   3.375   03/07/23   267,835 
 250,000     KeyBank NA   1.250   03/10/23   253,778 
 100,000     Lloyds Bank plc   2.700   08/17/20   100,287 
 700,000     Lloyds Bank plc   2.250   08/14/22   719,756 
 200,000     Lloyds Banking Group plc   2.858   03/17/23   206,001 
 300,000     Lloyds Banking Group plc   2.907   11/07/23   312,339 
 100,000     Mitsubishi UFJ Financial Group, Inc   3.535   07/26/21   103,184 
 300,000     Mitsubishi UFJ Financial Group, Inc   2.998   02/22/22   310,850 
 300,000     Mitsubishi UFJ Financial Group, Inc   3.218   03/07/22   312,697 
 700,000     Mitsubishi UFJ Financial Group, Inc   2.623   07/18/22   726,335 
 350,000     Mitsubishi UFJ Financial Group, Inc   3.455   03/02/23   373,592 
 300,000     Mizuho Financial Group, Inc   2.953   02/28/22   311,126 
 250,000     Mizuho Financial Group, Inc   2.601   09/11/22   259,925 
 200,000     Mizuho Financial Group, Inc   3.549   03/05/23   214,166 
 200,000     Mizuho Financial Group, Inc   2.721   07/16/23   206,812 
 250,000     MUFG Union Bank NA   3.150   04/01/22   260,368 
 250,000     MUFG Union Bank NA   2.100   12/09/22   257,623 
 250,000     National Australia Bank Ltd   3.700   11/04/21   260,640 
 500,000     National Australia Bank Ltd   1.875   12/13/22   516,529 
 500,000     National Australia Bank Ltd   3.625   06/20/23   542,453 
 250,000     National Bank of Canada   2.100   02/01/23   257,058 
 200,000     Northern Trust Corp   2.375   08/02/22   208,053 
 750,000     PNC Bank NA   2.625   02/17/22   776,998 
 250,000     PNC Bank NA   2.232   07/22/22   254,281 
 250,000     PNC Bank NA   2.028   12/09/22   255,087 
 250,000     PNC Bank NA   1.743   02/24/23   254,186 
327

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$500,000     PNC Bank NA      3.500%  06/08/23  $541,296 
 250,000     Regions Bank      3.374   08/13/21   250,522 
 300,000     Royal Bank of Canada      3.200   04/30/21   307,155 
 500,000     Royal Bank of Canada      2.750   02/01/22   518,729 
 100,000     Royal Bank of Canada      2.800   04/29/22   104,104 
 250,000     Royal Bank of Canada      1.950   01/17/23   257,810 
 200,000     Royal Bank of Canada      1.600   04/17/23   205,169 
 260,000     Royal Bank of Scotland Group plc      6.125   12/15/22   283,822 
 300,000     Royal Bank of Scotland Group plc      3.498   05/15/23   311,472 
 250,000  i  Royal Bank of Scotland Group plc  DGS1 + 2.150%   2.359   05/22/24   256,661 
 200,000     Santander Holdings USA, Inc      3.400   01/18/23   208,185 
 150,000     Santander Holdings USA, Inc      3.244   10/05/26   155,838 
 200,000     Santander UK Group Holdings plc      2.875   10/16/20   201,385 
 200,000     Santander UK plc      3.400   06/01/21   205,324 
 200,000     Santander UK plc      3.750   11/15/21   208,377 
 350,000     Santander UK plc      2.100   01/13/23   361,331 
 300,000     Skandinaviska Enskilda Banken AB      2.800   03/11/22   311,818 
 800,000     Sumitomo Mitsui Financial Group, Inc      2.784   07/12/22   833,371 
 200,000     Sumitomo Mitsui Financial Group, Inc      2.778   10/18/22   209,035 
 502,000     Sumitomo Mitsui Financial Group, Inc      3.102   01/17/23   530,900 
 250,000     Svenska Handelsbanken AB      3.350   05/24/21   256,348 
 300,000     Svenska Handelsbanken AB      1.875   09/07/21   305,221 
 250,000     Synchrony Bank      3.650   05/24/21   254,055 
 250,000     Synovus Bank      2.289   02/10/23   253,110 
 250,000     Toronto-Dominion Bank      3.250   06/11/21   256,832 
 400,000     Toronto-Dominion Bank      1.900   12/01/22   412,782 
 100,000     Truist Bank      3.525   10/26/21   100,952 
 250,000     Truist Bank      2.800   05/17/22   260,290 
 200,000     Truist Bank      3.502   08/02/22   206,306 
 550,000     Truist Bank      1.250   03/09/23   558,410 
 100,000     Truist Financial Corp      3.200   09/03/21   103,033 
 300,000     Truist Financial Corp      2.750   04/01/22   311,023 
 200,000     Truist Financial Corp      3.050   06/20/22   209,282 
 250,000     Truist Financial Corp      2.200   03/16/23   259,542 
 500,000     US Bancorp      2.625   01/24/22   516,457 
 800,000     US Bancorp      2.950   07/15/22   838,509 
 400,000     Wells Fargo & Co      1.654   06/02/24   406,478 
 250,000     Wells Fargo Bank NA      3.325   07/23/21   250,407 
 250,000     Wells Fargo Bank NA      3.625   10/22/21   259,576 
 350,000     Wells Fargo Bank NA      2.897   05/27/22   356,892 
 500,000     Wells Fargo Bank NA      2.082   09/09/22   508,067 
 550,000     Westpac Banking Corp      2.500   06/28/22   571,589 
 400,000     Westpac Banking Corp      2.000   01/13/23   414,122 
       TOTAL BANKS              50,922,310 
                        
CAPITAL GOODS - 1.1%
 200,000     ABB Finance USA, Inc      3.375   04/03/23   211,917 
 100,000     Air Lease Corp      2.500   03/01/21   100,014 
 100,000     Air Lease Corp      3.500   01/15/22   101,043 
 350,000     Air Lease Corp      2.250   01/15/23   344,742 
 250,000     Aircastle Ltd      5.125   03/15/21   251,003 
 375,000  g  Carrier Global Corp      1.923   02/15/23   382,593 
 250,000     Caterpillar Financial Services Corp      2.650   05/17/21   254,984 
 200,000     Caterpillar Financial Services Corp      3.150   09/07/21   206,411 
328

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$150,000     Caterpillar Financial Services Corp   2.950%  02/26/22  $156,239 
 300,000     Caterpillar Financial Services Corp   0.950   05/13/22   303,859 
 750,000     Caterpillar Financial Services Corp   1.900   09/06/22   773,857 
 200,000     CNH Industrial Capital LLC   3.875   10/15/21   204,979 
 100,000  h  CNH Industrial Capital LLC   1.950   07/02/23   100,676 
 250,000     Eaton Corp   2.750   11/02/22   262,967 
 200,000     Fortive Corp   2.350   06/15/21   202,521 
 160,000     General Dynamics Corp   3.375   05/15/23   173,101 
 550,000     General Electric Co   2.700   10/09/22   571,499 
 200,000     Honeywell International, Inc   1.850   11/01/21   203,815 
 100,000     Ingersoll-Rand Global Holding Co Ltd   2.900   02/21/21   101,107 
 200,000     John Deere Capital Corp   2.300   06/07/21   203,414 
 100,000     John Deere Capital Corp   3.125   09/10/21   103,182 
 100,000     John Deere Capital Corp   3.200   01/10/22   104,276 
 250,000     John Deere Capital Corp   2.950   04/01/22   260,914 
 100,000     John Deere Capital Corp   1.950   06/13/22   102,866 
 250,000     John Deere Capital Corp   0.550   07/05/22   250,700 
 250,000     John Deere Capital Corp   2.700   01/06/23   263,549 
 525,000     John Deere Capital Corp   1.200   04/06/23   534,654 
 250,000     John Deere Capital Corp   0.700   07/05/23   250,883 
 250,000     L3Harris Technologies, Inc   4.950   02/15/21   253,078 
 250,000     Lockheed Martin Corp   3.100   01/15/23   265,871 
 500,000     Northrop Grumman Corp   2.550   10/15/22   521,729 
 200,000  g  Raytheon Technologies Corp   2.800   03/15/22   206,310 
 160,000  g  Raytheon Technologies Corp   2.500   12/15/22   165,868 
 100,000     Roper Technologies, Inc   3.000   12/15/20   100,904 
 200,000     Stanley Black & Decker, Inc   2.900   11/01/22   210,929 
       TOTAL CAPITAL GOODS           8,706,454 
                     
COMMERCIAL & PROFESSIONAL SERVICES - 0.2%
 100,000     Equifax, Inc   3.600   08/15/21   103,194 
 100,000  g  Leidos, Inc   2.950   05/15/23   104,170 
 200,000     RELX Capital, Inc   3.500   03/16/23   213,276 
 200,000     Republic Services, Inc   5.250   11/15/21   212,554 
 180,000     Visa, Inc   2.150   09/15/22   187,063 
 300,000     Visa, Inc   2.800   12/14/22   316,694 
 150,000     Waste Management, Inc   4.600   03/01/21   152,633 
       TOTAL COMMERCIAL & PROFESSIONAL SERVICES           1,289,584 
                     
CONSUMER DURABLES & APPAREL - 0.0%
 100,000     DR Horton, Inc   2.550   12/01/20   100,714 
 200,000     Ralph Lauren Corp   1.700   06/15/22   203,485 
 125,000     VF Corp   2.050   04/23/22   128,321 
       TOTAL CONSUMER DURABLES & APPAREL           432,520 
                     
CONSUMER SERVICES - 0.1%
 250,000     Marriott International, Inc   3.125   10/15/21   250,517 
 300,000     McDonald’s Corp   2.625   01/15/22   310,086 
 300,000     McDonald’s Corp   3.350   04/01/23   321,533 
 100,000     Starbucks Corp   1.300   05/07/22   101,354 
 200,000     Starbucks Corp   3.100   03/01/23   212,856 
       TOTAL CONSUMER SERVICES           1,196,346 
329

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
DIVERSIFIED FINANCIALS - 4.6%
$200,000     AerCap Ireland Capital DAC   5.000%  10/01/21  $202,261 
 150,000     AerCap Ireland Capital DAC   4.450   12/16/21   151,491 
 300,000     AerCap Ireland Capital DAC   3.950   02/01/22   300,101 
 250,000  h  AerCap Ireland Capital DAC   4.500   09/15/23   250,029 
 300,000     Ally Financial, Inc   4.125   02/13/22   308,469 
 200,000     Ally Financial, Inc   3.050   06/05/23   202,767 
 300,000     American Express Co   3.375   05/17/21   306,987 
 200,000     American Express Co   3.700   11/05/21   207,995 
 190,000     American Express Co   2.650   12/02/22   199,014 
 800,000     American Express Co   3.400   02/27/23   856,176 
 100,000     American Honda Finance Corp   3.150   01/08/21   101,388 
 100,000     American Honda Finance Corp   2.650   02/12/21   101,270 
 200,000     American Honda Finance Corp   3.375   12/10/21   207,662 
 250,000     American Honda Finance Corp   1.950   05/20/22   255,669 
 250,000     American Honda Finance Corp   2.050   01/10/23   258,505 
 200,000     American Honda Finance Corp   1.950   05/10/23   205,858 
 100,000     Ameriprise Financial, Inc   3.000   03/22/22   104,063 
 250,000     Australia & New Zealand Banking Group Ltd   3.300   05/17/21   256,492 
 300,000     Australia & New Zealand Banking Group Ltd   2.625   05/19/22   312,583 
 250,000     Australia & New Zealand Banking Group Ltd   2.050   11/21/22   259,269 
 125,000     Bank of Montreal   3.100   04/13/21   127,712 
 500,000     Bank of Montreal   2.900   03/26/22   521,141 
 500,000     Bank of Montreal   2.050   11/01/22   516,301 
 300,000     Bank of New York Mellon Corp   2.500   04/15/21   304,573 
 300,000     Bank of New York Mellon Corp   2.600   02/07/22   309,795 
 100,000     Bank of New York Mellon Corp   1.950   08/23/22   102,990 
 500,000     Bank of New York Mellon Corp   2.661   05/16/23   517,764 
 300,000     Berkshire Hathaway, Inc   2.750   03/15/23   317,692 
 200,000     BlackRock, Inc   3.375   06/01/22   211,430 
 400,000     Canadian Imperial Bank of Commerce   0.950   06/23/23   401,656 
 330,000     Capital One Bank USA NA   3.375   02/15/23   347,463 
 100,000     Capital One Financial Corp   3.450   04/30/21   102,093 
 1,000,000     Capital One Financial Corp   2.600   05/11/23   1,044,256 
 100,000     Celanese US Holdings LLC   4.625   11/15/22   106,137 
 200,000     Charles Schwab Corp   3.250   05/21/21   204,617 
 350,000     Charles Schwab Corp   2.650   01/25/23   368,368 
 750,000     Credit Suisse AG.   2.100   11/12/21   765,705 
 250,000     Credit Suisse AG.   2.800   04/08/22   259,636 
 1,000,000     Credit Suisse AG.   1.000   05/05/23   1,005,494 
 250,000     Credit Suisse Group Funding Guernsey Ltd   3.450   04/16/21   255,927 
 100,000     Deutsche Bank AG.   2.700   07/13/20   100,021 
 200,000     Deutsche Bank AG.   3.125   01/13/21   200,986 
 300,000     Deutsche Bank AG.   3.150   01/22/21   301,406 
 650,000     Deutsche Bank AG.   4.250   02/04/21   657,335 
 150,000     Deutsche Bank AG.   5.000   02/14/22   156,580 
 350,000     Deutsche Bank AG.   3.300   11/16/22   357,993 
 250,000     Deutsche Bank AG.   3.950   02/27/23   259,619 
 200,000     Diageo Investment Corp   2.875   05/11/22   209,029 
 140,000     Discover Financial Services   3.850   11/21/22   148,292 
 500,000     GE Capital International Funding Co   2.342   11/15/20   503,238 
 100,000     General Motors Financial Co, Inc   2.450   11/06/20   100,157 
 300,000     General Motors Financial Co, Inc   4.200   03/01/21   303,989 
 400,000     General Motors Financial Co, Inc   3.550   04/09/21   404,829 
 250,000     General Motors Financial Co, Inc   4.200   11/06/21   256,387 
330

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  REFERENCE
RATE & SPREAD
  RATE  MATURITY
DATE
  VALUE 
$650,000     General Motors Financial Co, Inc      3.550%  07/08/22  $666,447 
 300,000     General Motors Financial Co, Inc      3.250   01/05/23   306,536 
 600,000     General Motors Financial Co, Inc      5.200   03/20/23   641,969 
 1,000,000     Goldman Sachs Group, Inc      5.750   01/24/22   1,078,872 
 250,000     Goldman Sachs Group, Inc      3.000   04/26/22   254,845 
 2,159,000     Goldman Sachs Group, Inc      3.200   02/23/23   2,291,591 
 700,000     IBM Credit LLC      3.000   02/06/23   744,558 
 300,000     International Lease Finance Corp      5.875   08/15/22   315,624 
 250,000     Jefferies Group LLC      5.125   01/20/23   271,305 
 750,000     Landwirtschaftliche Rentenbank      1.750   09/24/21   763,454 
 150,000  i  Lloyds Banking Group plc  DGS1 + 1.100%   1.326   06/15/23   150,879 
 250,000     Moody’s Corp      2.625   01/15/23   261,732 
 800,000     Morgan Stanley      5.500   07/28/21   842,424 
 500,000     Morgan Stanley      2.750   05/19/22   519,841 
 1,480,000     Morgan Stanley      3.125   01/23/23   1,569,252 
 1,000,000     Morgan Stanley      3.737   04/24/24   1,078,063 
 200,000     National Rural Utilities Cooperative Finance Corp      1.750   01/21/22   204,325 
 200,000     National Rural Utilities Cooperative Finance Corp      2.400   04/25/22   206,468 
 125,000     Oesterreichische Kontrollbank AG.      2.875   09/07/21   128,758 
 250,000     Oesterreichische Kontrollbank AG.      2.625   01/31/22   259,110 
 300,000     Oesterreichische Kontrollbank AG.      1.625   09/17/22   308,619 
 300,000     Oesterreichische Kontrollbank AG.      2.875   03/13/23   320,276 
 100,000     PACCAR Financial Corp      3.150   08/09/21   102,914 
 100,000     PACCAR Financial Corp      2.850   03/01/22   103,972 
 100,000     PACCAR Financial Corp      2.650   05/10/22   104,229 
 200,000     PACCAR Financial Corp      2.000   09/26/22   206,317 
 200,000     PACCAR Financial Corp      2.650   04/06/23   211,078 
 300,000     PACCAR Financial Corp      0.800   06/08/23   301,149 
 250,000     Shire Acquisitions Investments Ireland DAC      2.400   09/23/21   254,997 
 300,000     State Street Corp      2.653   05/15/23   311,379 
 100,000     Synchrony Financial      2.850   07/25/22   101,712 
 500,000     Toronto-Dominion Bank      0.750   06/12/23   502,901 
 200,000     Toyota Motor Credit Corp      3.400   09/15/21   206,812 
 300,000     Toyota Motor Credit Corp      1.800   10/07/21   304,776 
 250,000     Toyota Motor Credit Corp      2.600   01/11/22   257,725 
 500,000     Toyota Motor Credit Corp      2.900   03/30/23   530,153 
 500,000     Toyota Motor Credit Corp      1.350   08/25/23   510,072 
 100,000     Unilever Capital Corp      3.000   03/07/22   104,337 
 200,000     Unilever Capital Corp      3.125   03/22/23   213,902 
 1,100,000     Wells Fargo & Co      2.625   07/22/22   1,146,036 
 500,000     Wells Fargo & Co      3.069   01/24/23   517,913 
 500,000     Wells Fargo & Co      3.450   02/13/23   531,193 
       TOTAL DIVERSIFIED FINANCIALS              36,507,175 
                        
ENERGY - 1.5%
 180,000     Baker Hughes a GE Co LLC      2.773   12/15/22   187,835 
 610,000     BP Capital Markets America, Inc      3.245   05/06/22   639,547 
 200,000     BP Capital Markets America, Inc      2.937   04/06/23   211,766 
 500,000     BP Capital Markets America, Inc      2.750   05/10/23   528,319 
 400,000     BP Capital Markets plc      3.561   11/01/21   415,714 
 250,000     Canadian Natural Resources Ltd      2.950   01/15/23   257,940 
 500,000     Chevron Corp      2.498   03/03/22   517,367 
 160,000     Chevron Corp      2.355   12/05/22   166,418 
 300,000     Chevron Corp      1.141   05/11/23   305,167 
331

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$200,000     Enbridge, Inc   2.900%  07/15/22  $207,491 
 600,000     Energy Transfer Operating LP   5.200   02/01/22   627,861 
 300,000     Energy Transfer Operating LP   4.250   03/15/23   316,677 
 200,000     Enterprise Products Operating LLC   5.200   09/01/20   201,514 
 100,000     Enterprise Products Operating LLC   2.800   02/15/21   101,383 
 300,000     Enterprise Products Operating LLC   3.500   02/01/22   312,744 
 200,000     EOG Resources, Inc   4.100   02/01/21   204,242 
 400,000     Equinor ASA   2.450   01/17/23   418,376 
 375,000     Exxon Mobil Corp   1.902   08/16/22   386,990 
 600,000     Exxon Mobil Corp   1.571   04/15/23   615,272 
 450,000     Kinder Morgan Energy Partners LP   3.950   09/01/22   474,347 
 100,000     Kinder Morgan, Inc   3.150   01/15/23   104,491 
 150,000     Marathon Oil Corp   2.800   11/01/22   150,157 
 200,000     Marathon Petroleum Corp   5.125   03/01/21   205,632 
 200,000     Marathon Petroleum Corp   4.500   05/01/23   215,510 
 300,000     MPLX LP   3.375   03/15/23   313,513 
 200,000     National Oilwell Varco, Inc   2.600   12/01/22   201,286 
 200,000     Newfield Exploration Co   5.750   01/30/22   200,387 
 250,000     Phillips 66   4.300   04/01/22   265,259 
 200,000     Phillips 66   3.700   04/06/23   213,799 
 200,000     Plains All American Pipeline LP   3.650   06/01/22   204,447 
 500,000     Sabine Pass Liquefaction LLC   5.625   04/15/23   546,834 
 250,000     Shell International Finance BV   1.750   09/12/21   253,568 
 300,000     Shell International Finance BV   2.250   01/06/23   311,508 
 300,000     Suncor Energy, Inc   2.800   05/15/23   313,327 
 300,000     Total Capital International S.A.   2.218   07/12/21   304,987 
 300,000     Total Capital International S.A.   2.875   02/17/22   311,399 
 200,000     TransCanada PipeLines Ltd   2.500   08/01/22   206,454 
 200,000     Valero Energy Corp   2.700   04/15/23   207,505 
 500,000     Williams Partners LP   3.600   03/15/22   519,620 
       TOTAL ENERGY           12,146,653 
                     
FOOD & STAPLES RETAILING - 0.2%
 300,000     Kroger Co   2.800   08/01/22   313,254 
 200,000     SYSCO Corp   2.600   06/12/22   206,130 
 200,000     Walgreen Co   3.100   09/15/22   209,592 
 200,000     Walgreens Boots Alliance, Inc   3.300   11/18/21   206,285 
 200,000     Walmart, Inc   3.125   06/23/21   205,574 
 260,000     Walmart, Inc   2.350   12/15/22   272,222 
 300,000     Walmart, Inc   3.400   06/26/23   325,823 
       TOTAL FOOD & STAPLES RETAILING           1,738,880 
                     
FOOD, BEVERAGE & TOBACCO - 1.4%
 200,000     Altria Group, Inc   4.750   05/05/21   207,343 
 150,000     Altria Group, Inc   3.490   02/14/22   156,442 
 200,000     Altria Group, Inc   2.850   08/09/22   208,378 
 625,000     Anheuser-Busch InBev Finance, Inc   3.300   02/01/23   661,016 
 80,000     Anheuser-Busch InBev Worldwide, Inc   2.500   07/15/22   83,093 
 100,000     Archer-Daniels-Midland Co   3.375   03/15/22   104,615 
 200,000     Bunge Ltd   3.500   11/24/20   201,890 
 500,000     Campbell Soup Co   3.650   03/15/23   533,441 
 450,000     Coca-Cola Co   1.550   09/01/21   456,522 
 300,000     Coca-Cola Co   2.500   04/01/23   318,129 
 100,000     ConAgra Brands, Inc   3.800   10/22/21   103,926 
332

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$250,000     ConAgra Brands, Inc   3.200%  01/25/23  $263,329 
 200,000     Constellation Brands, Inc   2.650   11/07/22   208,605 
 100,000     Constellation Brands, Inc   3.200   02/15/23   106,140 
 300,000     Diageo Capital plc   2.625   04/29/23   316,240 
 100,000     General Mills, Inc   3.200   04/16/21   102,188 
 200,000     General Mills, Inc   2.600   10/12/22   208,366 
 200,000     JM Smucker Co   3.000   03/15/22   207,397 
 200,000     Keurig Dr Pepper, Inc   3.551   05/25/21   205,558 
 300,000     Keurig Dr Pepper, Inc   4.057   05/25/23   327,166 
 40,000     Kraft Heinz Foods Co   2.800   07/02/20   40,000 
 110,000     McCormick & Co, Inc   2.700   08/15/22   114,618 
 250,000     Molson Coors Brewing Co   3.500   05/01/22   260,864 
 1,500,000     Mondelez International, Inc   0.625   07/01/22   1,499,790 
 100,000     Mondelez International, Inc   2.125   04/13/23   103,573 
 300,000     PepsiCo, Inc   3.100   07/17/22   315,317 
 400,000     PepsiCo, Inc   2.750   03/01/23   424,710 
 750,000     PepsiCo, Inc   0.750   05/01/23   757,423 
 300,000     Philip Morris International, Inc   2.900   11/15/21   310,525 
 250,000     Philip Morris International, Inc   2.375   08/17/22   259,717 
 750,000     Philip Morris International, Inc   1.125   05/01/23   762,848 
 200,000     Philip Morris International, Inc   2.125   05/10/23   209,155 
 440,000     Reynolds American, Inc   4.000   06/12/22   464,873 
 300,000     Tyson Foods, Inc   4.500   06/15/22   318,973 
       TOTAL FOOD, BEVERAGE & TOBACCO           10,822,170 
                     
HEALTH CARE EQUIPMENT & SERVICES - 0.8%
 300,000     Anthem, Inc   2.950   12/01/22   316,264 
 300,000     Becton Dickinson & Co   2.894   06/06/22   310,439 
 250,000     Cardinal Health, Inc   2.616   06/15/22   258,005 
 300,000     Cigna Corp   3.400   09/17/21   310,143 
 200,000     Cigna Corp   3.750   07/15/23   217,134 
 200,000     CVS Health Corp   3.350   03/09/21   203,968 
 670,000     CVS Health Corp   3.500   07/20/22   705,865 
 997,000     CVS Health Corp   3.700   03/09/23   1,071,270 
 300,000     HCA, Inc   4.750   05/01/23   325,522 
 100,000     Humana, Inc   2.500   12/15/20   100,901 
 200,000     Laboratory Corp of America Holdings   3.750   08/23/22   211,012 
 197,000     Medtronic, Inc   3.150   03/15/22   206,559 
 300,000     Medtronic, Inc   2.750   04/01/23   316,957 
 300,000     Thermo Fisher Scientific, Inc   3.000   04/15/23   317,732 
 200,000     UnitedHealth Group, Inc   3.150   06/15/21   205,447 
 500,000     UnitedHealth Group, Inc   2.875   03/15/22   517,544 
 100,000     UnitedHealth Group, Inc   2.375   10/15/22   104,247 
 300,000     UnitedHealth Group, Inc   2.875   03/15/23   318,274 
 150,000     Zimmer Biomet Holdings, Inc   3.150   04/01/22   155,703 
       TOTAL HEALTH CARE EQUIPMENT & SERVICES           6,172,986 
                     
HOUSEHOLD & PERSONAL PRODUCTS - 0.2%
 750,000     Colgate-Palmolive Co   1.950   02/01/23   781,996 
 300,000     Procter & Gamble Co   2.300   02/06/22   309,720 
 200,000     Procter & Gamble Co   2.150   08/11/22   207,632 
       TOTAL HOUSEHOLD & PERSONAL PRODUCTS           1,299,348 
333

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
INSURANCE - 0.4%
$150,000     Aetna, Inc   2.750%  11/15/22  $156,247 
 500,000     Aetna, Inc   2.800   06/15/23   526,764 
 300,000     American International Group, Inc   3.300   03/01/21   305,051 
 300,000     American International Group, Inc   4.875   06/01/22   323,544 
 200,000     Aon Corp   2.200   11/15/22   207,643 
 300,000     Aon plc   2.800   03/15/21   305,207 
 250,000     Berkshire Hathaway Finance Corp   3.000   05/15/22   262,182 
 300,000     Prudential Financial, Inc   5.875   09/15/42   319,320 
 500,000     Prudential Financial, Inc   5.625   06/15/43   532,000 
       TOTAL INSURANCE           2,937,958 
                     
MATERIALS - 0.5%
 100,000     3M Co   3.000   09/14/21   103,027 
 100,000     3M Co   2.750   03/01/22   103,666 
 500,000     3M Co   1.750   02/14/23   515,770 
 500,000     BHP Billiton Finance USA Ltd   2.875   02/24/22   518,384 
 200,000     Domtar Corp   4.400   04/01/22   204,351 
 275,000     DuPont de Nemours, Inc   2.169   05/01/23   280,156 
 100,000     Eastman Chemical Co   3.500   12/01/21   103,208 
 200,000     Ecolab, Inc   4.350   12/08/21   211,442 
 200,000     Ecolab, Inc   2.375   08/10/22   207,891 
 100,000     International Flavors & Fragrances, Inc   3.400   09/25/20   100,500 
 500,000     LyondellBasell Industries NV   6.000   11/15/21   527,871 
 120,000     Mosaic Co   3.250   11/15/22   122,832 
 300,000     Nutrien Ltd   1.900   05/13/23   309,586 
 200,000     Praxair, Inc   2.200   08/15/22   206,873 
 15,000     Sherwin-Williams Co   2.750   06/01/22   15,472 
       TOTAL MATERIALS           3,531,029 
                     
MEDIA & ENTERTAINMENT - 0.5%
 390,000     Charter Communications Operating LLC   4.464   07/23/22   415,810 
 700,000     Comcast Corp   2.750   03/01/23   744,133 
 200,000     DH Europe Finance II Sarl   2.050   11/15/22   206,564 
 158,000     Discovery Communications LLC   2.950   03/20/23   165,993 
 100,000     Fox Corp   3.666   01/25/22   104,675 
 100,000     Interpublic Group of Cos, Inc   3.500   10/01/20   100,662 
 100,000     Interpublic Group of Cos, Inc   3.750   10/01/21   103,679 
 250,000     Time Warner Cable LLC   4.000   09/01/21   256,657 
 200,000     Time Warner Entertainment Co LP   8.375   03/15/23   234,362 
 175,000  g  Upjohn, Inc   1.125   06/22/22   175,940 
 300,000     Walt Disney Co   2.550   02/15/22   309,401 
 500,000     Walt Disney Co   3.000   09/15/22   527,407 
 200,000     WPP Finance 2010   3.625   09/07/22   207,924 
       TOTAL MEDIA & ENTERTAINMENT           3,553,207 
                     
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 1.2%
 400,000     AbbVie, Inc   3.375   11/14/21   414,084 
 750,000  g  AbbVie, Inc   2.150   11/19/21   763,919 
 300,000  g  AbbVie, Inc   3.450   03/15/22   311,674 
 300,000  g  AbbVie, Inc   3.250   10/01/22   313,846 
 750,000  g  AbbVie, Inc   2.300   11/21/22   775,266 
 500,000     AbbVie, Inc   2.850   05/14/23   527,353 
 414,286     Amgen, Inc   3.875   11/15/21   429,802 
334

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     Amgen, Inc   2.650%  05/11/22  $311,206 
 200,000     AstraZeneca plc   2.375   06/12/22   207,099 
 150,000     Biogen, Inc   3.625   09/15/22   159,374 
 500,000  g  Bristol-Myers Squibb Co   2.600   05/16/22   519,855 
 350,000  g  Bristol-Myers Squibb Co   3.250   02/20/23   372,466 
 300,000     Gilead Sciences, Inc   4.400   12/01/21   313,839 
 200,000     Gilead Sciences, Inc   1.950   03/01/22   204,874 
 500,000     GlaxoSmithKline Capital plc   2.875   06/01/22   522,558 
 500,000     GlaxoSmithKline Capital, Inc   3.375   05/15/23   539,112 
 28,000     Johnson & Johnson   2.050   03/01/23   29,161 
 250,000     Merck & Co, Inc   2.400   09/15/22   260,784 
 500,000     Merck & Co, Inc   2.800   05/18/23   534,004 
 20,000     Mylan NV   3.750   12/15/20   20,210 
 300,000     Mylan NV   3.150   06/15/21   306,272 
 300,000     Novartis Capital Corp   2.400   09/21/22   312,660 
 100,000     Pfizer, Inc   3.000   09/15/21   103,249 
 500,000     Pfizer, Inc   2.800   03/11/22   520,635 
 500,000     Takeda Pharmaceutical Co Ltd   4.000   11/26/21   522,021 
 100,000     Zoetis, Inc   3.250   08/20/21   102,842 
 200,000     Zoetis, Inc   3.250   02/01/23   211,085 
       TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES          9,609,250 
                     
REAL ESTATE - 0.4%
 250,000     American Tower Corp   3.300   02/15/21   254,250 
 500,000     American Tower Corp   4.700   03/15/22   534,535 
 100,000     AvalonBay Communities, Inc   2.950   09/15/22   104,103 
 200,000     Boston Properties LP   4.125   05/15/21   204,054 
 200,000     Crown Castle International Corp   2.250   09/01/21   201,674 
 110,000     Crown Castle International Corp   4.875   04/15/22   117,515 
 300,000     Crown Castle International Corp   5.250   01/15/23   333,828 
 200,000     Digital Realty Trust LP   3.625   10/01/22   211,096 
 100,000     HCP, Inc   3.150   08/01/22   104,878 
 100,000     Kimco Realty Corp   3.400   11/01/22   104,014 
 200,000     Simon Property Group LP   2.625   06/15/22   205,617 
 500,000     Simon Property Group LP   2.750   06/01/23   521,160 
       TOTAL REAL ESTATE           2,896,724 
                     
RETAILING - 0.5%
 200,000     Alibaba Group Holding Ltd   3.125   11/28/21   205,773 
 200,000     Amazon.com, Inc   3.300   12/05/21   207,752 
 150,000     Amazon.com, Inc   2.500   11/29/22   157,100 
 200,000     Amazon.com, Inc   2.400   02/22/23   210,135 
 500,000     Amazon.com, Inc   0.400   06/03/23   499,689 
 100,000     AutoZone, Inc   4.000   11/15/20   100,423 
 200,000     Dollar General Corp   3.250   04/15/23   213,548 
 200,000     Dollar Tree, Inc   3.700   05/15/23   214,093 
 200,000     eBay, Inc   3.800   03/09/22   210,140 
 306,000     eBay, Inc   2.750   01/30/23   319,787 
 500,000     Home Depot, Inc   3.250   03/01/22   524,772 
 400,000     Lowe’s Cos, Inc   3.750   04/15/21   406,943 
 200,000     Nordstrom, Inc   4.000   10/15/21   200,000 
 200,000     O’Reilly Automotive, Inc   3.800   09/01/22   210,062 
 250,000     Target Corp   2.900   01/15/22   260,024 
       TOTAL RETAILING           3,940,241 
335

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.2%
$500,000  g  Broadcom, Inc   2.250%  11/15/23  $516,606 
 200,000     Intel Corp   3.100   07/29/22   211,464 
 300,000     Intel Corp   2.700   12/15/22   317,361 
 200,000     Microchip Technology, Inc   4.333   06/01/23   215,752 
 200,000     Micron Technology, Inc   2.497   04/24/23   207,688 
 200,000     Texas Instruments, Inc   1.850   05/15/22   205,062 
       TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT           1,673,933 
                     
SOFTWARE & SERVICES - 0.9%
 100,000     Adobe, Inc   1.700   02/01/23   103,697 
 200,000     Baidu, Inc   3.500   11/28/22   208,182 
 150,000     DXC Technology Co   4.000   04/15/23   157,428 
 200,000     Fiserv, Inc   3.500   10/01/22   211,374 
 840,000     International Business Machines Corp   2.850   05/13/22   878,596 
 500,000     Intuit, Inc   0.650   07/15/23   500,899 
 400,000     Microsoft Corp   1.550   08/08/21   405,520 
 360,000     Microsoft Corp   2.650   11/03/22   378,848 
 1,000,000     Microsoft Corp   2.375   05/01/23   1,055,395 
 400,000     Oracle Corp   1.900   09/15/21   406,739 
 1,130,000     Oracle Corp   2.500   05/15/22   1,168,434 
 120,000     Oracle Corp   2.500   10/15/22   125,409 
 475,000     Oracle Corp   2.625   02/15/23   499,249 
 175,000     PayPal Holdings, Inc   2.200   09/26/22   181,134 
 500,000     PayPal Holdings, Inc   1.350   06/01/23   510,400 
 300,000     salesforce.com, Inc   3.250   04/11/23   322,411 
 190,000     VMware, Inc   2.950   08/21/22   196,545 
       TOTAL SOFTWARE & SERVICES           7,310,260 
                     
TECHNOLOGY HARDWARE & EQUIPMENT - 0.8%
 250,000     Apple, Inc   1.550   08/04/21   253,759 
 700,000     Apple, Inc   2.150   02/09/22   720,234 
 375,000     Apple, Inc   1.700   09/11/22   386,342 
 500,000     Apple, Inc   2.100   09/12/22   518,408 
 500,000     Apple, Inc   2.400   05/03/23   528,465 
 1,000,000     Apple, Inc   0.750   05/11/23   1,010,535 
 250,000     Cisco Systems, Inc   1.850   09/20/21   254,451 
 600,000     Cisco Systems, Inc   3.000   06/15/22   631,727 
 650,000  g  Dell International LLC   4.420   06/15/21   668,111 
 300,000  g  Dell International LLC   5.450   06/15/23   328,144 
 100,000     Hewlett Packard Enterprise Co   3.500   10/05/21   103,172 
 300,000     Hewlett Packard Enterprise Co   2.250   04/01/23   308,989 
 200,000     Hewlett Packard Enterprise Co   4.450   10/02/23   218,550 
 300,000     QUALCOMM, Inc   3.000   05/20/22   313,493 
 300,000     QUALCOMM, Inc   2.600   01/30/23   314,897 
       TOTAL TECHNOLOGY HARDWARE & EQUIPMENT           6,559,277 
                     
TELECOMMUNICATION SERVICES - 0.3%
 200,000     America Movil SAB de C.V.   3.125   07/16/22   206,892 
 900,000     AT&T, Inc   3.200   03/01/22   939,146 
 500,000     AT&T, Inc   3.400   06/15/22   525,624 
 100,000     AT&T, Inc   2.625   12/01/22   103,996 
336

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     AT&T, Inc   3.600%  02/17/23  $322,007 
 300,000     Vodafone Group plc   2.950   02/19/23   315,828 
       TOTAL TELECOMMUNICATION SERVICES           2,413,493 
                     
TRANSPORTATION - 0.5%
 100,000     Boeing Co   2.300   08/01/21   100,904 
 200,000     Boeing Co   2.700   05/01/22   202,744 
 800,000     Boeing Co   4.508   05/01/23   844,728 
 400,000     Burlington Northern Santa Fe LLC   3.050   09/01/22   419,589 
 100,000     FedEx Corp   3.400   01/14/22   104,011 
 150,000     Norfolk Southern Corp   3.000   04/01/22   155,891 
 200,000     Ryder System, Inc   3.500   06/01/21   204,343 
 200,000     Ryder System, Inc   2.875   06/01/22   206,917 
 450,000     Southwest Airlines Co   4.750   05/04/23   464,654 
 100,000     Union Pacific Corp   3.200   06/08/21   102,476 
 200,000     Union Pacific Corp   2.950   03/01/22   207,839 
 200,000     Union Pacific Corp   3.500   06/08/23   216,657 
 250,000     United Parcel Service, Inc   2.450   10/01/22   260,525 
 300,000     United Parcel Service, Inc   2.500   04/01/23   314,513 
       TOTAL TRANSPORTATION           3,805,791 
                     
UTILITIES - 1.2%
 200,000     Alabama Power Co   2.450   03/30/22   206,325 
 350,000     Berkshire Hathaway Energy Co   2.800   01/15/23   369,310 
 100,000     CenterPoint Energy, Inc   3.600   11/01/21   103,833 
 250,000     CenterPoint Energy, Inc   2.500   09/01/22   258,743 
 200,000     Commonwealth Edison Co   4.000   08/01/20   200,538 
 400,000     Dominion Energy, Inc   2.579   07/01/20   400,000 
 200,000     Dominion Energy, Inc   2.750   01/15/22   204,851 
 125,000  i  Dominion Energy, Inc (Step Bond)   2.715   08/15/21   127,750 
 200,000     DTE Energy Co   2.600   06/15/22   206,243 
 125,000     DTE Energy Co   2.250   11/01/22   129,092 
 100,000     Duke Energy Carolinas LLC   3.350   05/15/22   105,050 
 350,000     Duke Energy Carolinas LLC   3.050   03/15/23   372,354 
 200,000     Duke Energy Corp   1.800   09/01/21   202,614 
 300,000     Duke Energy Corp   2.400   08/15/22   311,136 
 200,000     Edison International   2.400   09/15/22   202,608 
 100,000     Edison International   3.125   11/15/22   102,990 
 200,000     Emera US Finance LP   2.700   06/15/21   203,656 
 120,000     Entergy Corp   4.000   07/15/22   127,370 
 100,000     Eversource Energy   2.500   03/15/21   101,255 
 160,000     Eversource Energy   2.750   03/15/22   165,780 
 500,000     Exelon Corp   3.497   06/01/22   521,949 
 500,000     FirstEnergy Corp   4.250   03/15/23   540,636 
 100,000     Georgia Power Co   2.100   07/30/23   104,056 
 200,000     LG&E and KU Energy LLC   3.750   11/15/20   200,755 
 200,000     NextEra Energy Capital Holdings, Inc   2.403   09/01/21   204,522 
 500,000     NextEra Energy Capital Holdings, Inc   2.900   04/01/22   520,462 
 200,000     Ohio Power Co   5.375   10/01/21   211,853 
 120,000     Oncor Electric Delivery Co LLC   7.000   09/01/22   135,741 
 250,000     ONEOK Partners LP   3.375   10/01/22   258,849 
 750,000     Pacific Gas and Electric Co   1.750   06/16/22   751,170 
 100,000     PPL Capital Funding, Inc   3.500   12/01/22   105,823 
 500,000     PSEG Power LLC   3.850   06/01/23   539,886 
337

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL       ISSUER   RATE   MATURITY
DATE
  VALUE  
$ 200,000       Public Service Enterprise Group, Inc     2.000 %   11/15/21   $ 203,240  
  100,000       Public Service Enterprise Group, Inc     2.650     11/15/22     104,316  
  200,000       Puget Energy, Inc     5.625     07/15/22     213,150  
  110,000       Sempra Energy     2.875     10/01/22     113,948  
  300,000       Southern Co     2.350     07/01/21     305,099  
  100,000       WEC Energy Group, Inc     3.375     06/15/21     102,804  
  300,000       WEC Energy Group, Inc     3.100     03/08/22     312,362  
  100,000       Wisconsin Public Service Corp     3.350     11/21/21     104,106  
  140,000       Xcel Energy, Inc     2.600     03/15/22     144,130  
          TOTAL UTILITIES                 9,800,355  
                               
          TOTAL CORPORATE BONDS                 189,842,881  
          (Cost $185,557,454)                    
                               
GOVERNMENT   BONDS - 75.3%  
                               
AGENCY SECURITIES - 3.2%
  1,500,000       Federal Farm Credit Bank (FFCB)     0.250     05/06/22     1,500,395  
  750,000       Federal Home Loan Bank (FHLB)     1.125     07/14/21     757,394  
  3,000,000       FHLB     3.000     10/12/21     3,108,075  
  1,600,000       FHLB     1.625     11/19/21     1,632,746  
  1,500,000       FHLB     1.625     12/20/21     1,530,434  
  1,000,000       FHLB     0.250     06/03/22     1,000,429  
  1,600,000       FHLB     1.375     02/17/23     1,647,355  
  2,500,000       Federal Home Loan Mortgage Corp (FHLMC)     2.375     01/13/22     2,583,069  
  2,500,000       FHLMC     0.375     04/20/23     2,506,821  
  500,000       FHLMC     0.375     05/05/23     501,299  
  1,000,000       FHLMC     0.250     06/26/23     998,422  
  1,500,000       Federal National Mortgage Association (FNMA)     2.625     01/11/22     1,555,599  
  1,000,000       FNMA     2.000     10/05/22     1,038,350  
  4,500,000       FNMA     0.250     05/22/23     4,495,386  
          TOTAL AGENCY SECURITIES                 24,855,774  
                               
FOREIGN GOVERNMENT BONDS - 7.2%
  150,000       African Development Bank     2.625     03/22/21     152,488  
  500,000       African Development Bank     2.375     09/23/21     512,542  
  600,000       African Development Bank     1.625     09/16/22     617,311  
  850,000       African Development Bank     0.750     04/03/23     860,135  
  500,000       Asian Development Bank     1.625     03/16/21     504,484  
  400,000       Asian Development Bank     0.625     04/07/22     402,558  
  2,500,000       Asian Development Bank     1.875     07/19/22     2,580,823  
  1,250,000       Asian Development Bank     1.625     01/24/23     1,292,396  
  1,000,000       Canada Government International Bond     2.625     01/25/22     1,036,771  
  300,000       Chile Government International Bond     2.250     10/30/22     309,750  
  250,000       Colombia Government International Bond     2.625     03/15/23     252,500  
  100,000       Corp Andina de Fomento     2.200     07/18/20     100,001  
  550,000       Corp Andina de Fomento     3.250     02/11/22     564,300  
  500,000       Corp Andina de Fomento     2.375     05/12/23     512,810  
  400,000       Council of Europe Development Bank     1.625     03/16/21     403,772  
  500,000       Council of Europe Development Bank     0.250     06/10/23     499,292  
  300,000       European Bank for Reconstruction & Development     2.750     04/26/21     305,363  
  500,000       European Bank for Reconstruction & Development     2.750     03/07/23     532,030  
  1,000,000   h   European Bank for Reconstruction & Development     0.250     07/10/23     999,207  
  2,000,000       European Investment Bank     2.375     05/13/21     2,036,252  
338

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$500,000     European Investment Bank   2.625%  05/20/22  $522,192 
 2,750,000     European Investment Bank   1.375   09/06/22   2,817,635 
 1,707,000     European Investment Bank   1.375   05/15/23   1,759,999 
 560,000     European Investment Bank   0.250   09/15/23   559,494 
 500,000     Export Development Canada   2.000   05/17/22   515,745 
 800,000     Export Development Canada   1.375   02/24/23   822,239 
 250,000     Export-Import Bank of Korea   2.500   11/01/20   251,240 
 250,000     Export-Import Bank of Korea   3.500   11/27/21   259,201 
 500,000     Export-Import Bank of Korea   2.750   01/25/22   513,898 
 500,000     FMS Wertmanagement AoeR   2.750   03/06/23   532,711 
 500,000     Hashemite Kingdom of Jordan Government AID International Bond   2.578   06/30/22   521,536 
 250,000     Hungary Government International Bond   5.750   11/22/23   283,960 
 300,000     Indonesia Government International Bond   2.950   01/11/23   308,383 
 200,000     Inter-American Development Bank   2.625   04/19/21   203,761 
 200,000     Inter-American Development Bank   1.875   07/23/21   203,289 
 1,000,000     Inter-American Development Bank   1.750   04/14/22   1,025,947 
 1,100,000     Inter-American Development Bank   2.500   01/18/23   1,161,095 
 1,000,000     Inter-American Development Bank   0.500   05/24/23   1,005,843 
 200,000     International Bank for Reconstruction & Development   1.625   09/04/20   200,473 
 1,000,000     International Bank for Reconstruction & Development   1.625   03/09/21   1,010,030 
 750,000     International Bank for Reconstruction & Development   1.375   05/24/21   757,256 
 500,000     International Bank for Reconstruction & Development   2.000   01/26/22   513,529 
 2,000,000     International Bank for Reconstruction & Development   1.625   02/10/22   2,043,651 
 1,250,000     International Bank for Reconstruction & Development   2.125   07/01/22   1,296,100 
 400,000     International Finance Corp   0.500   03/20/23   402,415 
 250,000     Israel Government International Bond   4.000   06/30/22   266,076 
 150,000     Japan Bank for International Cooperation   2.125   07/21/20   150,118 
 1,000,000     Japan Bank for International Cooperation   1.500   07/21/21   1,011,529 
 200,000     Japan Bank for International Cooperation   1.625   10/17/22   205,114 
 450,000     Japan Bank for International Cooperation   1.750   01/23/23   464,336 
 800,000     Japan Bank for International Cooperation   0.625   05/22/23   802,669 
 350,000     Korea Development Bank   3.000   03/19/22   361,780 
 300,000     Korea Development Bank   3.375   03/12/23   320,496 
 100,000     Kreditanstalt fuer Wiederaufbau   1.875   12/15/20   100,741 
 1,000,000     Kreditanstalt fuer Wiederaufbau   2.375   03/24/21   1,015,302 
 2,000,000     Kreditanstalt fuer Wiederaufbau   2.625   04/12/21   2,036,447 
 500,000     Kreditanstalt fuer Wiederaufbau   2.500   02/15/22   518,039 
 1,000,000     Kreditanstalt fuer Wiederaufbau   2.125   03/07/22   1,031,336 
 2,000,000     Kreditanstalt fuer Wiederaufbau   1.750   08/22/22   2,063,381 
 3,100,000     Kreditanstalt fuer Wiederaufbau   1.625   02/15/23   3,208,296 
 400,000     Mexico Government International Bond   3.625   03/15/22   415,604 
 500,000     Nordic Investment Bank   2.250   09/30/21   511,808 
 500,000     Nordic Investment Bank   1.375   10/17/22   512,100 
 250,000     Nordic Investment Bank   0.375   05/19/23   250,632 
 500,000     Poland Government International Bond   5.000   03/23/22   536,338 
 400,000     Poland Government International Bond   3.000   03/17/23   423,501 
 400,000     Province of Alberta Canada   2.200   07/26/22   414,168 
 300,000     Province of British Columbia Canada   2.000   10/23/22   311,451 
 400,000     Province of Manitoba Canada   2.125   05/04/22   411,839 
 300,000     Province of Ontario Canada   2.550   04/25/22   311,646 
 1,000,000     Province of Ontario Canada   2.250   05/18/22   1,034,040 
 1,055,000     Province of Ontario Canada   1.750   01/24/23   1,088,918 
 200,000     Province of Quebec Canada   3.500   07/29/20   200,448 
339

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
$300,000     Province of Quebec Canada   2.375%  01/31/22  $309,211 
 400,000     Province of Quebec Canada   2.625   02/13/23   422,383 
 120,000     Svensk Exportkredit AB   2.375   04/09/21   121,898 
 200,000     Svensk Exportkredit AB   2.875   05/22/21   204,552 
 500,000     Svensk Exportkredit AB   1.625   09/12/21   507,623 
 100,000     Svensk Exportkredit AB   3.125   11/08/21   103,718 
 660,000     Svensk Exportkredit AB   1.625   11/14/22   679,122 
 300,000     Svensk Exportkredit AB   2.875   03/14/23   319,682 
       TOTAL FOREIGN GOVERNMENT BONDS           56,612,749 
                     
U.S. TREASURY SECURITIES - 64.9%
 8,600,000     United States Treasury Note   1.625   06/30/21   8,724,969 
 16,250,000     United States Treasury Note   2.625   07/15/21   16,661,328 
 6,000,000     United States Treasury Note   1.750   07/31/21   6,101,719 
 12,250,000     United States Treasury Note   2.750   08/15/21   12,601,709 
 3,000,000     United States Treasury Note   1.500   08/31/21   3,046,055 
 13,500,000     United States Treasury Note   2.750   09/15/21   13,918,711 
 8,500,000     United States Treasury Note   1.500   09/30/21   8,640,449 
 9,000,000     United States Treasury Note   2.875   10/15/21   9,312,891 
 12,000,000     United States Treasury Note   1.500   10/31/21   12,212,344 
 17,750,000     United States Treasury Note   2.875   11/15/21   18,406,611 
 25,200,000     United States Treasury Note   1.500   11/30/21   25,673,484 
 14,250,000     United States Treasury Note   2.625   12/15/21   14,758,213 
 20,850,000     United States Treasury Note   1.625   12/31/21   21,303,650 
 20,900,000     United States Treasury Note   2.500   01/15/22   21,645,379 
 2,150,000     United States Treasury Note   1.375   01/31/22   2,190,816 
 3,000,000     United States Treasury Note   2.500   02/15/22   3,112,852 
 10,000,000     United States Treasury Note   2.375   03/15/22   10,375,000 
 4,750,000     United States Treasury Note   0.375   03/31/22   4,767,070 
 12,000,000     United States Treasury Note   2.250   04/15/22   12,445,781 
 24,000,000     United States Treasury Note   0.125   04/30/22   23,983,125 
 18,000,000     United States Treasury Note   2.125   05/15/22   18,657,422 
 2,500,000     United States Treasury Note   0.125   05/31/22   2,498,145 
 14,000,000     United States Treasury Note   1.750   06/15/22   14,433,672 
 15,000,000     United States Treasury Note   0.125   06/30/22   14,991,675 
 20,000,000     United States Treasury Note   1.750   07/15/22   20,643,750 
 13,000,000     United States Treasury Note   1.500   08/15/22   13,368,672 
 10,000,000     United States Treasury Note   1.500   09/15/22   10,295,703 
 17,400,000     United States Treasury Note   1.375   10/15/22   17,877,820 
 20,000,000     United States Treasury Note   1.625   11/15/22   20,688,281 
 23,000,000     United States Treasury Note   1.625   12/15/22   23,821,172 
 22,000,000     United States Treasury Note   1.500   01/15/23   22,737,344 
 12,000,000     United States Treasury Note   1.375   02/15/23   12,377,344 
 1,000,000     United States Treasury Note   2.625   02/28/23   1,065,078 
 21,500,000     United States Treasury Note   0.250   04/15/23   21,547,031 
 21,500,000     United States Treasury Note   0.125   05/15/23   21,467,246 
 18,000,000     United States Treasury Note   0.250   06/15/23   18,037,969 
 3,500,000     United States Treasury Note   0.250   05/31/25   3,495,488 
 2,000,000     United States Treasury Note   0.250   06/30/25   1,996,013 
       TOTAL U.S. TREASURY SECURITIES           509,881,981 
                     
       TOTAL GOVERNMENT BONDS           591,350,504 
       (Cost $578,445,446)             
                     
       TOTAL BONDS           781,193,385 
       (Cost $764,002,900)             
340

TIAA-CREF FUNDS – Short-Term Bond Index Fund

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE 
SHORT-TERM INVESTMENTS - 0.8%
                     
REPURCHASE AGREEMENT - 0.8%
$5,940,000  r  Fixed Income Clearing Corp   0.070%  07/01/20  $5,940,000 
       TOTAL REPURCHASE AGREEMENT           5,940,000 
                     
       TOTAL SHORT-TERM INVESTMENTS           5,940,000 
       (Cost $5,940,000)             
                     
       TOTAL INVESTMENTS - 100.2%           787,133,385 
       (Cost $769,942,900)             
       OTHER ASSETS & LIABILITIES, NET - (0.2)%           (1,840,366)
       NET ASSETS - 100.0%          $785,293,019 
             
             
          Abbreviation(s):
  DGS1       1-Year Treasury Constant Maturity Rate
  LIBOR       London Interbank Offered Rate
  M       Month
           
        Perpetual security
  g       Security is exempt from registration under Rule 144(A) of the Securities Act of 1933, as amended. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/20, the aggregate value of these securities is $5,604,768 or 0.7% of net assets.
  h       All or a portion of these securities were purchased on a delayed delivery basis.
  i       Floating or variable rate security includes the reference rate and spread, unless the variable rate is based on the underlying asset of the security. Coupon rate reflects the rate at period end.
  r       Agreement with Fixed Income Clearing Corporation, 0.070% dated 6/30/20 to be repurchased at $5,940,000 on 7/1/20, collateralized by U.S. Treasury Notes valued at $6,058,908.
341

TIAA-CREF FUNDS – Notes to schedules of investments (unaudited)

 

Organization and significant accounting policies

 

Part F of Form N-PORT was prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”) and in conformity with the applicable rules and regulations of the U.S. Securities and Exchange Commission (“Commission”) related to interim filings. Part F of Form N-PORT does not include all information and footnotes required by U.S. GAAP for complete financial statements. Certain footnote disclosures normally included in financial statements prepared in accordance with U.S. GAAP have been condensed or omitted from this report. For a full set of financial statement notes, please refer to the most recently filed annual or semiannual report.

 

Valuation of investments

 

Portfolio investments are valued at fair value utilizing various valuation methods approved by the Board of Trustees (“Board”). U.S. GAAP establishes a hierarchy that prioritizes market inputs to valuation methods. The three levels of inputs are:

 

Level 1 – quoted prices in active markets for identical securities
Level 2 – other significant observable inputs (including quoted prices for similar securities, interest rates, credit spreads, etc.)
Level 3 – significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of investments)

 

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized as Level 3. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

Any portfolio security for which market quotations are not readily available or for which the above valuation procedures are deemed not to reflect fair value are valued at fair value, as determined in good faith using procedures approved by the Board. To the extent the inputs are observable and timely, the values would be categorized as Level 2 of the fair value hierarchy; otherwise they would be categorized as Level 3.

 

As of June 30, 2020, 100% of the value of investments in the Bond Index Fund, Inflation-Linked Bond Fund, Short Duration Impact Bond Fund and Short-Term Bond Index Fund were valued based on Level 2 inputs.

 

The following table summarizes the market value of the Funds’ investments as of June 30, 2020, based on the inputs used to value them:

 

Fund  Level 1   Level 2   Level 3   Total 
Real Estate Securities                    
Equity investments                    
Internet services & infrastructure  $33,855,500   $26,985,395   $   $60,840,895 
All other equity investments *   2,406,824,246            2,406,824,246 
Short-term investments       44,982,561        44,982,561 
Total  $2,440,679,746   $71,967,956   $   $2,512,647,702 
Core Bond                    
Bank loan obligations  $   $124,724,012   $   $124,724,012 
Corporate bonds       3,012,982,791        3,012,982,791 
Government bonds       2,390,090,613    3,522,198    2,393,612,811 
Structured assets       1,341,896,714    12,807,225    1,354,703,939 
Common stocks   27,924            27,924 
Short-term investments       669,079,826        669,079,826 
Forward foreign currency contracts **       (231,134)       (231,134)
Total  $27,924   $7,538,542,822   $16,329,423   $7,554,900,169 
342

TIAA-CREF FUNDS – Notes to schedules of investments (unaudited)

 

Fund  Level 1   Level 2   Level 3   Total 
Core Impact Bond                    
Bank loan obligations  $   $6,780,533   $   $6,780,533 
Corporate bonds       2,374,503,444        2,374,503,444 
Government bonds       2,301,521,845    3,943,408    2,305,465,253 
Structured assets       578,247,637    125,219    578,372,856 
Preferred stocks   26,488,920            26,488,920 
Short-term investments       428,483,734        428,483,734 
Forward foreign currency contracts**       27,904        27,904 
Total  $26,488,920   $5,689,565,097   $4,068,627   $5,720,122,644 
Core Plus Bond                    
Bank loan obligations  $   $118,742,254   $84,262   $118,826,516 
Corporate bonds       2,115,126,171        2,115,126,171 
Government bonds       1,543,925,206    8,272,871    1,552,198,077 
Structured assets       958,562,176    6,590,852    965,153,028 
Common stocks   583,747        1,108    584,855 
Preferred stocks   9,004,417            9,004,417 
Short-term investments       410,174,804        410,174,804 
Forward foreign currency contracts **       (170,089)       (170,089)
Future contracts **   (120,083)            (120,083)
Total  $9,468,081   $5,146,360,522   $14,949,093   $5,170,777,696 
5-15 Year Laddered Tax-Exempt Bond                    
Long-term municipal bonds  $   $261,106,395   $2,057,430   $263,163,825 
Short-term municipal bonds       5,000,000        5,000,000 
Total  $   $266,106,395   $2,057,430   $268,163,825 
Green Bond                    
Bank loan obligations  $   $449,472   $   $449,472 
Corporate bonds       16,602,749        16,602,749 
Government bonds       10,903,623        10,903,623 
Structured assets       7,918,794        7,918,794 
Preferred stocks   748,340            748,340 
Short-term investments       1,070,000        1,070,000 
Total  $748,340   $36,944,638   $   $37,692,978 
High-Yield                    
Bank loan obligations  $   $164,639,213   $4,400,000   $169,039,213 
Corporate bonds       3,140,480,740    4,932,624    3,145,413,364 
Common stocks   78,685,638            78,685,638 
Short-term investments       77,147,460        77,147,460 
Total  $78,685,638   $3,382,267,413   $9,332,624   $3,470,285,675 
Short-Term Bond                    
Bank loan obligations  $   $27,165,962   $   $27,165,962 
Corporate bonds       632,474,320        632,474,320 
Government bonds       774,104,240    341,078    774,445,318 
Structured assets       461,639,580    4,052,512    465,692,092 
Short-term investments       82,797,458        82,797,458 
Futures contracts**   (100,838)           (100,838)
Total  $(100,838)  $1,978,181,560   $4,393,590   $1,982,474,312 

 

*   For detailed catergories, see the accompanying Schedule of investments.
**   Derivative instruments are not reflected in the market value of Schedule of investments.
343