0001752724-23-193882.txt : 20230828 0001752724-23-193882.hdr.sgml : 20230828 20230828114220 ACCESSION NUMBER: 0001752724-23-193882 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230630 FILED AS OF DATE: 20230828 DATE AS OF CHANGE: 20230828 PERIOD START: 20240331 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: 231212597 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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Long DBT CORP US N 2 2031-03-15 Fixed 1.75000000 N N N N N N MACY'S RETAIL HLDGS LLC N/A Macy's Retail Holdings LLC 55617LAP7 1950000.00000000 PA USD 1779375.00000000 0.040366813299 Long DBT CORP US Y 2 2029-04-01 Fixed 5.87500000 N N N N N ARCHROCK PARTNERS LP/FIN N/A Archrock Partners LP 03959KAA8 3950000.00000000 PA USD 3792000.00000000 0.086025124570 Long DBT CORP US Y 2 2027-04-01 Fixed 6.87500000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corp Gold (FGLMC) 3132QPGY4 543145.86000000 PA USD 506170.00000000 0.011482947601 Long ABS-MBS MUN US N 2 2045-04-01 Fixed 3.50000000 N N N N N N DELTA 2 LUX SARL 549300BBG8Z3D6QSYP53 Delta 2 Lux Sarl BL4053676 270000.00000000 PA USD 270371.25000000 0.006133628813 Long LON CORP LU N 2 2030-01-15 Variable 8.10249000 N N N N N N MPLX LP 5493000CZJ19CK4P3G36 MPLX LP 55336VAN0 1550000.00000000 PA USD 1272191.76000000 0.028860879386 Long DBT CORP US N 2 2048-04-15 Fixed 4.70000000 N N N N N N GS Mortgage-Backed Securities 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0.095841066101 Long ABS-O CORP KY Y 2 2034-04-15 Variable 6.71029000 N N N N N N Freddie Mac S6XOOCT0IEG5ABCC6L87 Federal Home Loan Mortgage Corp (FHLMC) 3137FAES3 3543539.20000000 PA USD 3130747.00000000 0.071023971697 Long ABS-CBDO USGSE US N 2 2047-01-15 Fixed 3.50000000 N N N N N N JPMBB Commercial Mortgage Secu N/A JPMBB Commercial Mortgage Securities Trust 46645LAC1 2500000.00000000 PA USD 2026221.25000000 0.045966755126 Long ABS-MBS CORP US Y 2 2049-03-17 Variable 4.35887700 N N N N N N ORANGE SA 969500MCOONR8990S771 Orange S.A. 35177PAX5 370000.00000000 PA USD 367301.18000000 0.008332576414 Long DBT CORP FR N 2 2042-01-13 Fixed 5.37500000 N N N N N N COMM Mortgage Trust N/A COMM Mortgage Trust 12593JBJ4 2500000.00000000 PA USD 2286676.00000000 0.051875418711 Long ABS-MBS CORP US N 2 2048-08-10 Variable 4.49043200 N N N N N N CONSUMERS ENERGY CO 7NKTFWJ1G6MELP9TU740 Consumers Energy Co 210518DN3 740000.00000000 PA USD 474166.02000000 0.010756906892 Long DBT CORP US N 2 2052-08-15 Fixed 2.65000000 N N N N N N BNP PARIBAS R0MUWSFPU8MPRO8K5P83 BNP Paribas S.A. 09659T2B6 6600000.00000000 PA USD 5059234.29000000 0.114773539037 Long DBT CORP FR Y 2 2035-08-12 Fixed 2.58800000 N N N N N N SUMITOMO MITSUI FINL GRP 35380028MYWPB6AUO129 Sumitomo Mitsui Financial Group, Inc 86562MCA6 1600000.00000000 PA USD 1469384.43000000 0.033334382550 Long DBT CORP JP N 2 2025-07-08 Fixed 1.47400000 N N N N N N Morgan Stanley IGJSJL3JD5P30I6NJZ34 Morgan Stanley 61761J406 34686.00000000 NS USD 851194.44000000 0.019310154993 Long EP CORP US N 1 N N HILTON DOMESTIC OPERATIN 5493003EG7H0N1E4XV50 Hilton Domestic Operating Co, Inc 432833AH4 150000.00000000 PA USD 147707.00000000 0.003350873701 Long DBT CORP US Y 2 2028-05-01 Fixed 5.75000000 N N N N N N RADIATE HOLDCO LLC 5493000GQJ5RDX9DNJ71 Radiate Holdco LLC 75025KAH1 1004.85000000 PA USD 841.19000000 0.000019083194 Long LON CORP US N 2 2026-09-25 Variable 8.47748000 N N N N N N Fannie Mae B1V7KEBTPIMZEU4LTD58 Federal National Mortgage Association (FNMA) 31418EHH6 9695832.20000000 PA USD 8838482.12000000 0.200509368510 Long ABS-MBS USGSE US N 2 2052-09-01 Fixed 3.50000000 N N N N N N Sequoia Mortgage Trust N/A Sequoia Mortgage Trust 81733YAA7 157614.86000000 PA USD 141325.03000000 0.003206092645 Long ABS-CBDO CORP US Y 2 2045-05-25 Variable 3.50000000 N N N N N N PRESIDIO HOLDING INC N/A Presidio Holdings, Inc 74101YAD0 116400.10000000 PA USD 116021.80000000 0.002632064820 Long LON CORP US N 2 2027-01-22 Variable 8.70249000 N N N N N N CSAIL Commercial Mortgage Trus 549300UFJ8EKD81Y8R30 CSAIL Commercial Mortgage Trust 126281AZ7 3340000.00000000 PA USD 3187459.53000000 0.072310549349 Long ABS-MBS CORP US N 2 2050-04-15 Fixed 3.50500000 N N N N N N JP Morgan Mortgage Trust N/A JP Morgan Mortgage Trust 46592KBP6 12723275.30000000 PA USD 86427.94000000 0.001960699974 Long ABS-CBDO CORP US Y 2 2051-07-25 Variable 0.14254700 N N N N N N Onslow Bay Financial LLC N/A OBX 67448KAN4 2491882.60000000 PA USD 2021741.35000000 0.045865124336 Long ABS-CBDO USGSE US Y 2 2052-01-25 Variable 3.00000000 N N N N N N CENOVUS ENERGY INC 549300F4XPHJ7NOSP309 Cenovus Energy, Inc 15135UAW9 550000.00000000 PA USD 443968.60000000 0.010071849715 Long DBT CORP CA N 2 2032-01-15 Fixed 2.65000000 N N N N N N SUZANO AUSTRIA GMBH 254900287ZNSGVP1R341 Suzano Austria GmbH 86964WAK8 3000000.00000000 PA USD 2401149.00000000 0.054472347531 Long DBT CORP AT N 2 2032-01-15 Fixed 3.12500000 N N N N N CITY BREWING CO LLC N/A City Brewing Co LLC 17776EAB1 262995.00000000 PA USD 173576.70000000 0.003937752436 Long LON CORP US N 2 2028-04-05 Variable 8.76029000 N N N N N N ELP 2021-ELP N/A ELP Commercial Mortgage Trust 26863LAL8 3400000.00000000 PA USD 3269529.42000000 0.074172382817 Long ABS-MBS CORP US Y 2 2038-11-15 Variable 7.31210000 N N N N N N ASURION LLC 549300KNQVXGIOXWK278 Asurion LLC 04649VAZ3 425000.00000000 PA USD 363243.25000000 0.008240518415 Long LON CORP US N 2 2028-01-31 Variable 10.45249000 N N N N N N Government National Mortgage A 549300M8ZYFG0OCMTT87 Government National Mortgage Association (GNMA) 36179XDE3 13374519.53000000 PA USD 12920056.70000000 0.293103767690 Long ABS-MBS USGSE US N 2 2052-08-20 Fixed 4.50000000 N N N N N N VISA INC 549300JZ4OKEHW3DPJ59 Visa, Inc 92826CAK8 550000.00000000 PA USD 422502.10000000 0.009584861757 Long DBT CORP US N 2 2040-04-15 Fixed 2.70000000 N N N N N N 2023-06-30 TIAA-CREF Funds E. Scott Wickerham E. Scott Wickerham Principal Financial Officer, Principal Accounting Officer and Treasurer XXXX NPORT-EX 2 tiaa_C252.htm
Portfolio
of
Investments
Real
Estate
Securities
Fund
June
30,
2023
1
See
Notes
to
Portfolios
of
Investments
(Unaudited)
SHARES
DESCRIPTION
REFERENCERATE
&
SPREAD
VALUE
LONG-TERM
INVESTMENTS
-
99.1%
COMMON
STOCKS
-
99.1%
DATA
CENTER
REITS
-
9
.6
%
950,000
Digital
Realty
Trust,
Inc
$
108,176,500‌
224,000
Equinix,
Inc
175,602,560‌
TOTAL
DATA
CENTER
REITS
283,779,060‌
HEALTH
CARE
REITS
-
6
.8
%
1,750,000
Healthpeak
Properties
Inc
35,175,000‌
1,150,000
Ventas,
Inc
54,360,500‌
1,400,000
Welltower,
Inc
113,246,000‌
TOTAL
HEALTH
CARE
REITS
202,781,500‌
HOTEL
&
RESORT
REITS
-
2
.4
%
2,600,000
Host
Hotels
and
Resorts,
Inc
43,758,000‌
300,000
Ryman
Hospitality
Properties
27,876,000‌
TOTAL
HOTEL
&
RESORT
REITS
71,634,000‌
INDUSTRIAL
REITS
-
19
.1
%
200,000
EastGroup
Properties,
Inc
34,720,000‌
3,000,000
Prologis,
Inc
367,890,000‌
1,900,000
Rexford
Industrial
Realty,
Inc
99,218,000‌
1,100,000
Terreno
Realty
Corp
66,110,000‌
TOTAL
INDUSTRIAL
REITS
567,938,000‌
MULTI-FAMILY
RESIDENTIAL
REITS
-
11
.6
%
700,000
AvalonBay
Communities,
Inc
132,489,000‌
900,000
Equity
Residential
59,373,000‌
200,000
Essex
Property
Trust,
Inc
46,860,000‌
1,750,000
Independence
Realty
Trust,
Inc
31,885,000‌
475,000
Mid-America
Apartment
Communities,
Inc
72,133,500‌
TOTAL
MULTI-FAMILY
RESIDENTIAL
REITS
342,740,500‌
OFFICE
REITS
-
1
.8
%
350,000
Alexandria
Real
Estate
Equities,
Inc
39,721,500‌
225,000
Boston
Properties,
Inc
12,957,750‌
TOTAL
OFFICE
REITS
52,679,250‌
OTHER
SPECIALIZED
REITS
-
5
.1
%
1,000,000
Gaming
and
Leisure
Properties,
Inc
48,460,000‌
3,300,000
VICI
Properties,
Inc
103,719,000‌
TOTAL
OTHER
SPECIALIZED
REITS
152,179,000‌
RETAIL
REITS
-
16
.7
%
425,000
Agree
Realty
Corp
27,790,750‌
2,100,000
Brixmor
Property
Group,
Inc
46,200,000‌
3,000,000
Kimco
Realty
Corp
59,160,000‌
2,100,000
Kite
Realty
Group
Trust
46,914,000‌
1,350,000
Realty
Income
Corp
80,716,500‌
1,150,000
Regency
Centers
Corp
71,035,500‌
1,300,000
Simon
Property
Group,
Inc
150,124,000‌
350,000
Spirit
Realty
Capital,
Inc
13,783,000‌
TOTAL
RETAIL
REITS
495,723,750‌
SELF
STORAGE
REITS
-
4
.5
%
150,000
Extra
Space
Storage,
Inc
22,327,500‌
200,000
Life
Storage,
Inc
26,592,000‌
Real
Estate
Securities
Fund
June
30,
2023
2
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
SHARES
DESCRIPTION
REFERENCERATE
&
SPREAD
VALUE
SELF
STORAGE
REITS—continued
290,000
Public
Storage,
Inc
$
84,645,200‌
TOTAL
SELF
STORAGE
REITS
133,564,700‌
SINGLE-FAMILY
RESIDENTIAL
REITS
-
9
.1
%
2,400,000
American
Homes
4
Rent
85,080,000‌
1,300,000
Equity
Lifestyle
Properties,
Inc
86,957,000‌
425,000
Invitation
Homes,
Inc
14,620,000‌
650,000
Sun
Communities,
Inc
84,799,000‌
TOTAL
SINGLE-FAMILY
RESIDENTIAL
REITS
271,456,000‌
TELECOM
TOWER
REITS
-
10
.5
%
975,000
American
Tower
Corp
189,091,500‌
675,000
Crown
Castle
International
Corp
76,909,500‌
200,000
SBA
Communications
Corp
46,352,000‌
TOTAL
TELECOM
TOWER
REITS
312,353,000‌
TIMBER
REITS
-
1
.9
%
1,650,000
Weyerhaeuser
Co
55,291,500‌
TOTAL
TIMBER
REITS
55,291,500‌
TOTAL
COMMON
STOCKS
2,942,120,260‌
(Cost
$2,197,078,919)
TOTAL
LONG-TERM
INVESTMENTS
2,942,120,260‌
(Cost
$2,197,078,919)
PRINCIPAL
RATE
MATURITY
DATE
SHORT-TERM
INVESTMENTS
-
0.6%
GOVERNMENT
AGENCY
DEBT
-
0
.2
%
$
5,000,000
Federal
Home
Loan
Bank
(FHLB)
0
.000
%
08/09/23
4,974,990‌
TOTAL
GOVERNMENT
AGENCY
DEBT
4,974,990‌
REPURCHASE
AGREEMENT
-
0
.4
%
13,337,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
07/03/23
13,337,000‌
TOTAL
REPURCHASE
AGREEMENT
13,337,000‌
TOTAL
SHORT-TERM
INVESTMENTS
18,311,990‌
(Cost
$18,309,998)
TOTAL
INVESTMENTS
-
99.7%
2,960,432,250‌
(Cost
$2,215,388,917)
OTHER
ASSETS
&
LIABILITIES,
NET
-
0.3%
9,467,160‌
NET
ASSETS
-
100.0%
$
2,969,899,410‌
REIT
Real
Estate
Investment
Trust
r
Agreement
with
Fixed
Income
Clearing
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$13,337,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
2.750%
and
maturity
date
7/31/27,
valued
at
$13,603,759.
Portfolio
of
Investments
Bond
Index
Fund
June
30,
2023
3
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
99.4%
CORPORATE
BONDS
-
25.2%
AUTOMOBILES
&
COMPONENTS
-
0.2%
$
100,000
e
Aptiv
plc
4.350
%
03/15/29
$
96,038‌
600,000
Aptiv
plc
3.250
03/01/32
513,695‌
100,000
Aptiv
plc
4.400
10/01/46
77,426‌
575,000
e
Aptiv
plc
5.400
03/15/49
510,745‌
1,500,000
Aptiv
plc
3.100
12/01/51
943,046‌
1,000,000
Aptiv
plc
4.150
05/01/52
761,157‌
200,000
BorgWarner,
Inc
3.375
03/15/25
191,504‌
1,650,000
BorgWarner,
Inc
2.650
07/01/27
1,500,097‌
200,000
BorgWarner,
Inc
4.375
03/15/45
161,207‌
500,000
General
Motors
Co
6.125
10/01/25
503,415‌
500,000
General
Motors
Co
6.800
10/01/27
519,386‌
700,000
General
Motors
Co
5.000
10/01/28
680,596‌
375,000
General
Motors
Co
5.400
10/15/29
365,645‌
450,000
e
General
Motors
Co
5.600
10/15/32
435,363‌
900,000
General
Motors
Co
6.600
04/01/36
924,082‌
700,000
General
Motors
Co
5.150
04/01/38
622,983‌
150,000
General
Motors
Co
6.250
10/02/43
146,685‌
175,000
General
Motors
Co
5.200
04/01/45
149,279‌
350,000
General
Motors
Co
6.750
04/01/46
353,841‌
500,000
General
Motors
Co
5.400
04/01/48
429,576‌
900,000
General
Motors
Co
5.950
04/01/49
840,938‌
725,000
General
Motors
Financial
Co,
Inc
3.950
04/13/24
713,630‌
1,000,000
General
Motors
Financial
Co,
Inc
2.900
02/26/25
948,832‌
1,500,000
General
Motors
Financial
Co,
Inc
3.800
04/07/25
1,446,455‌
3,000,000
General
Motors
Financial
Co,
Inc
2.750
06/20/25
2,826,071‌
800,000
General
Motors
Financial
Co,
Inc
5.000
04/09/27
778,496‌
1,000,000
General
Motors
Financial
Co,
Inc
6.000
01/09/28
1,008,014‌
1,000,000
General
Motors
Financial
Co,
Inc
5.850
04/06/30
991,263‌
475,000
General
Motors
Financial
Co,
Inc
2.700
06/10/31
378,860‌
175,000
Harley-Davidson,
Inc
3.500
07/28/25
167,503‌
200,000
e
Harley-Davidson,
Inc
4.625
07/28/45
151,611‌
2,000,000
J
Paul
Getty
Trust
0.391
01/01/24
1,953,654‌
326,000
Lear
Corp
3.800
09/15/27
302,716‌
400,000
Lear
Corp
4.250
05/15/29
373,562‌
500,000
Lear
Corp
3.500
05/30/30
437,930‌
600,000
Lear
Corp
2.600
01/15/32
466,095‌
550,000
e
Lear
Corp
5.250
05/15/49
477,960‌
1,000,000
Lear
Corp
3.550
01/15/52
667,157‌
300,000
Magna
International,
Inc
3.625
06/15/24
294,011‌
600,000
Magna
International,
Inc
4.150
10/01/25
581,579‌
175,000
Magna
International,
Inc
2.450
06/15/30
148,168‌
2,000,000
Magna
International,
Inc
5.500
03/21/33
2,035,970‌
300,000
PACCAR
Financial
Corp
2.150
08/15/24
288,781‌
1,000,000
PACCAR
Financial
Corp
1.100
05/11/26
899,214‌
1,500,000
PACCAR
Financial
Corp
4.600
01/10/28
1,505,078‌
1,000,000
Toyota
Motor
Corp
1.339
03/25/26
907,305‌
300,000
Toyota
Motor
Corp
3.669
07/20/28
287,245‌
1,000,000
e
Toyota
Motor
Corp
2.362
03/25/31
852,710‌
1,000,000
Toyota
Motor
Credit
Corp
3.650
08/18/25
966,261‌
TOTAL
AUTOMOBILES
&
COMPONENTS
33,582,835‌
BANKS
-
4.3%
525,000
Australia
&
New
Zealand
Banking
Group
Ltd
3.700
11/16/25
505,568‌
1,000,000
Australia
&
New
Zealand
Banking
Group
Ltd
5.088
12/08/25
995,307‌
Bond
Index
Fund
June
30,
2023
4
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
1,000,000
Banco
Bilbao
Vizcaya
Argentaria
S.A.
0.875
%
09/18/23
$
989,602‌
1,000,000
Banco
Bilbao
Vizcaya
Argentaria
S.A.
1.125
09/18/25
900,248‌
1,000,000
Banco
Bilbao
Vizcaya
Argentaria
S.A.
6.138
09/14/28
1,002,165‌
1,000,000
Banco
Santander
S.A.
3.892
05/24/24
980,411‌
800,000
Banco
Santander
S.A.
2.706
06/27/24
773,866‌
600,000
Banco
Santander
S.A.
2.746
05/28/25
563,277‌
400,000
Banco
Santander
S.A.
5.179
11/19/25
388,467‌
1,600,000
Banco
Santander
S.A.
1.849
03/25/26
1,431,360‌
600,000
Banco
Santander
S.A.
4.250
04/11/27
567,914‌
1,600,000
Banco
Santander
S.A.
5.294
08/18/27
1,568,614‌
1,200,000
Banco
Santander
S.A.
1.722
09/14/27
1,041,853‌
675,000
Banco
Santander
S.A.
3.800
02/23/28
620,300‌
1,000,000
Banco
Santander
S.A.
4.175
03/24/28
936,104‌
1,800,000
Banco
Santander
S.A.
4.379
04/12/28
1,697,198‌
600,000
Banco
Santander
S.A.
3.306
06/27/29
534,429‌
400,000
Banco
Santander
S.A.
3.490
05/28/30
348,612‌
2,000,000
Banco
Santander
S.A.
2.749
12/03/30
1,567,425‌
1,000,000
e
Banco
Santander
S.A.
2.958
03/25/31
824,591‌
2,000,000
Banco
Santander
S.A.
3.225
11/22/32
1,584,445‌
10,300,000
Bank
of
America
Corp
3.458
03/15/25
10,095,294‌
3,550,000
Bank
of
America
Corp
3.950
04/21/25
3,437,799‌
2,000,000
Bank
of
America
Corp
3.841
04/25/25
1,960,384‌
3,000,000
Bank
of
America
Corp
0.981
09/25/25
2,818,560‌
3,000,000
Bank
of
America
Corp
3.093
10/01/25
2,885,594‌
725,000
Bank
of
America
Corp
2.456
10/22/25
692,231‌
4,000,000
Bank
of
America
Corp
3.366
01/23/26
3,832,449‌
3,000,000
Bank
of
America
Corp
2.015
02/13/26
2,809,410‌
5,000,000
Bank
of
America
Corp
1.319
06/19/26
4,580,094‌
2,000,000
Bank
of
America
Corp
4.827
07/22/26
1,965,914‌
4,500,000
Bank
of
America
Corp
1.197
10/24/26
4,049,074‌
5,000,000
Bank
of
America
Corp
1.658
03/11/27
4,499,404‌
7,800,000
Bank
of
America
Corp
3.559
04/23/27
7,394,959‌
4,500,000
Bank
of
America
Corp
1.734
07/22/27
4,017,442‌
2,000,000
Bank
of
America
Corp
2.551
02/04/28
1,805,174‌
3,000,000
Bank
of
America
Corp
4.376
04/27/28
2,879,953‌
3,000,000
Bank
of
America
Corp
6.204
11/10/28
3,083,547‌
5,690,000
Bank
of
America
Corp
3.419
12/20/28
5,217,864‌
2,250,000
Bank
of
America
Corp
3
.970
03/05/29
2,106,516‌
2,000,000
Bank
of
America
Corp
5.202
04/25/29
1,978,142‌
3,000,000
Bank
of
America
Corp
2.087
06/14/29
2,559,476‌
1,400,000
Bank
of
America
Corp
4.271
07/23/29
1,328,311‌
3,075,000
Bank
of
America
Corp
3.974
02/07/30
2,847,018‌
1,675,000
Bank
of
America
Corp
3.194
07/23/30
1,476,356‌
1,050,000
Bank
of
America
Corp
2.884
10/22/30
904,001‌
4,000,000
Bank
of
America
Corp
2.496
02/13/31
3,348,925‌
1,750,000
Bank
of
America
Corp
2.592
04/29/31
1,469,189‌
3,000,000
Bank
of
America
Corp
1.898
07/23/31
2,389,053‌
3,000,000
Bank
of
America
Corp
1.922
10/24/31
2,374,716‌
3,000,000
Bank
of
America
Corp
2
.651
03/11/32
2,484,711‌
4,000,000
Bank
of
America
Corp
2.687
04/22/32
3,314,986‌
5,000,000
Bank
of
America
Corp
2.299
07/21/32
3,998,834‌
3,000,000
Bank
of
America
Corp
2.572
10/20/32
2,443,501‌
2,000,000
Bank
of
America
Corp
2.972
02/04/33
1,667,252‌
2,000,000
Bank
of
America
Corp
4.571
04/27/33
1,880,487‌
2,000,000
Bank
of
America
Corp
5.015
07/22/33
1,956,487‌
5,000,000
Bank
of
America
Corp
5.288
04/25/34
4,953,531‌
4,000,000
Bank
of
America
Corp
2.482
09/21/36
3,060,128‌
1,500,000
Bank
of
America
Corp
6.110
01/29/37
1,581,924‌
3,000,000
Bank
of
America
Corp
3.846
03/08/37
2,565,373‌
4,500,000
Bank
of
America
Corp
4
.078
04/23/40
3,865,314‌
6,000,000
Bank
of
America
Corp
2.676
06/19/41
4,212,863‌
5
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
4,000,000
Bank
of
America
Corp
3.311
%
04/22/42
$
3,047,796‌
1,500,000
Bank
of
America
Corp
5.000
01/21/44
1,437,501‌
2,800,000
Bank
of
America
Corp
4.443
01/20/48
2,478,572‌
3,000,000
Bank
of
America
Corp
3.946
01/23/49
2,432,165‌
1,000,000
Bank
of
America
Corp
2.831
10/24/51
656,578‌
1,950,000
Bank
of
America
Corp
3.483
03/13/52
1,445,507‌
2,000,000
Bank
of
America
Corp
2.972
07/21/52
1,359,497‌
1,000,000
Bank
of
Montreal
2.500
06/28/24
967,187‌
750,000
Bank
of
Montreal
1.850
05/01/25
700,620‌
1,500,000
Bank
of
Montreal
1.250
09/15/26
1,322,374‌
1,000,000
Bank
of
Montreal
0.949
01/22/27
892,393‌
2,000,000
Bank
of
Montreal
2.650
03/08/27
1,830,998‌
4,000,000
Bank
of
Montreal
4.700
09/14/27
3,909,909‌
2,000,000
Bank
of
Montreal
5.203
02/01/28
1,999,634‌
425,000
Bank
of
Montreal
3.803
12/15/32
374,636‌
2,000,000
Bank
of
Montreal
3.088
01/10/37
1,570,774‌
750,000
Bank
of
Nova
Scotia
2.200
02/03/25
708,319‌
1,500,000
Bank
of
Nova
Scotia
3.450
04/11/25
1,444,209‌
2,000,000
Bank
of
Nova
Scotia
1.300
06/11/25
1,838,530‌
1,550,000
Bank
of
Nova
Scotia
4.500
12/16/25
1,496,143‌
2,000,000
Bank
of
Nova
Scotia
1.050
03/02/26
1,780,888‌
2,000,000
Bank
of
Nova
Scotia
1.350
06/24/26
1,778,121‌
1,000,000
Bank
of
Nova
Scotia
2.700
08/03/26
926,842‌
3,000,000
Bank
of
Nova
Scotia
1.300
09/15/26
2,640,100‌
1,000,000
Bank
of
Nova
Scotia
5.250
06/12/28
993,192‌
2,000,000
Bank
of
Nova
Scotia
4.850
02/01/30
1,929,454‌
1,000,000
Bank
of
Nova
Scotia
2.450
02/02/32
814,557‌
750,000
Bank
of
Nova
Scotia
4.588
05/04/37
646,280‌
200,000
Barclays
plc
4.375
09/11/24
194,165‌
2,000,000
Barclays
plc
1.007
12/10/24
1,949,811‌
1,425,000
Barclays
plc
3.650
03/16/25
1,365,702‌
2,750,000
Barclays
plc
3.932
05/07/25
2,687,481‌
975,000
Barclays
plc
4.375
01/12/26
936,331‌
2,000,000
Barclays
plc
2
.852
05/07/26
1,873,168‌
800,000
Barclays
plc
5.200
05/12/26
771,524‌
1,000,000
Barclays
plc
7.325
11/02/26
1,022,338‌
2,000,000
Barclays
plc
2.279
11/24/27
1,759,325‌
700,000
Barclays
plc
4.337
01/10/28
659,538‌
1,975,000
Barclays
plc
4.836
05/09/28
1,818,951‌
1,500,000
Barclays
plc
7.385
11/02/28
1,562,409‌
1,500,000
Barclays
plc
4.972
05/16/29
1,417,538‌
1,000,000
Barclays
plc
5.088
06/20/30
909,348‌
2,000,000
Barclays
plc
2.645
06/24/31
1,603,920‌
1,500,000
Barclays
plc
2.667
03/10/32
1,179,230‌
2,000,000
Barclays
plc
2.894
11/24/32
1,573,940‌
1,300,000
Barclays
plc
5.746
08/09/33
1,257,287‌
2,500,000
Barclays
plc
7.437
11/02/33
2,704,725‌
3,000,000
Barclays
plc
6.224
05/09/34
2,988,106‌
1,000,000
Barclays
plc
7.119
06/27/34
999,601‌
1,750,000
Barclays
plc
3.564
09/23/35
1,384,794‌
1,000,000
Barclays
plc
3.811
03/10/42
710,609‌
775,000
Barclays
plc
5.250
08/17/45
718,554‌
500,000
BBVA
USA
3.875
04/10/25
477,292‌
1,500,000
BHP
Billiton
Finance
USA
Ltd
4.750
02/28/28
1,489,589‌
1,500,000
BHP
Billiton
Finance
USA
Ltd
4.900
02/28/33
1,494,178‌
750,000
Canadian
Imperial
Bank
of
Commerce
3.100
04/02/24
733,168‌
1,000,000
Canadian
Imperial
Bank
of
Commerce
2.250
01/28/25
948,136‌
1,000,000
Canadian
Imperial
Bank
of
Commerce
3.945
08/04/25
966,907‌
1,000,000
Canadian
Imperial
Bank
of
Commerce
0.950
10/23/25
907,819‌
1,000,000
Canadian
Imperial
Bank
of
Commerce
1.250
06/22/26
887,471‌
1,500,000
Canadian
Imperial
Bank
of
Commerce
3.450
04/07/27
1,405,027‌
Bond
Index
Fund
June
30,
2023
6
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
1,500,000
Canadian
Imperial
Bank
of
Commerce
5.001
%
04/28/28
$
1,476,272‌
1,500,000
e
Canadian
Imperial
Bank
of
Commerce
3.600
04/07/32
1,348,198‌
500,000
Citigroup,
Inc
4.000
08/05/24
489,696‌
7,500,000
Citigroup,
Inc
3.352
04/24/25
7,331,761‌
2,000,000
Citigroup,
Inc
0.981
05/01/25
1,913,773‌
1,000,000
Citigroup,
Inc
3.700
01/12/26
959,299‌
750,000
Citigroup,
Inc
4.600
03/09/26
726,111‌
3,000,000
Citigroup,
Inc
3.106
04/08/26
2,864,087‌
3,000,000
Citigroup,
Inc
5.610
09/29/26
2,995,921‌
1,100,000
Citigroup,
Inc
4.300
11/20/26
1,052,773‌
4,000,000
Citigroup,
Inc
1.122
01/28/27
3,565,756‌
5,000,000
Citigroup,
Inc
1.462
06/09/27
4,440,406‌
1,500,000
Citigroup,
Inc
4.450
09/29/27
1,432,242‌
5,000,000
Citigroup,
Inc
3.070
02/24/28
4,601,207‌
3,000,000
Citigroup,
Inc
4.658
05/24/28
2,925,187‌
1,000,000
Citigroup,
Inc
3.668
07/24/28
934,892‌
2,025,000
Citigroup,
Inc
4.125
07/25/28
1,908,698‌
4,000,000
Citigroup,
Inc
4.075
04/23/29
3,765,367‌
1,750,000
Citigroup,
Inc
3.980
03/20/30
1,618,114‌
5,000,000
Citigroup,
Inc
2.666
01/29/31
4,232,466‌
2,200,000
Citigroup,
Inc
4.412
03/31/31
2,068,575‌
6,000,000
Citigroup,
Inc
2.572
06/03/31
5,005,899‌
5,000,000
Citigroup,
Inc
2.561
05/01/32
4,082,633‌
175,000
Citigroup,
Inc
6.625
06/15/32
185,166‌
875,000
Citigroup,
Inc
2.520
11/03/32
704,996‌
4,000,000
Citigroup,
Inc
3.057
01/25/33
3,339,499‌
1,000,000
Citigroup,
Inc
3.785
03/17/33
883,507‌
1,775,000
Citigroup,
Inc
4.910
05/24/33
1,717,588‌
3,000,000
Citigroup,
Inc
6.270
11/17/33
3,184,252‌
425,000
Citigroup,
Inc
6.174
05/25/34
428,703‌
750,000
Citigroup,
Inc
3.878
01/24/39
627,566‌
325,000
Citigroup,
Inc
8.125
07/15/39
415,832‌
350,000
Citigroup,
Inc
5.875
01/30/42
366,929‌
2,000,000
Citigroup,
Inc
2.904
11/03/42
1,416,019‌
400,000
Citigroup,
Inc
6.675
09/13/43
430,845‌
125,000
Citigroup,
Inc
5.300
05/06/44
115,574‌
675,000
Citigroup,
Inc
4.650
07/30/45
598,591‌
3,075,000
Citigroup,
Inc
4.750
05/18/46
2,630,881‌
4,075,000
Citigroup,
Inc
4.650
07/23/48
3,688,739‌
350,000
Citizens
Bank
NA
2.250
04/28/25
316,523‌
250,000
Citizens
Bank
NA
3.750
02/18/26
227,729‌
1,000,000
Citizens
Bank
NA
4.575
08/09/28
908,909‌
500,000
Citizens
Financial
Group,
Inc
2
.850
07/27/26
440,119‌
200,000
Citizens
Financial
Group,
Inc
2.500
02/06/30
156,596‌
450,000
e
Citizens
Financial
Group,
Inc
3.250
04/30/30
367,718‌
850,000
Citizens
Financial
Group,
Inc
2.638
09/30/32
600,790‌
500,000
Citizens
Financial
Group,
Inc
5.641
05/21/37
429,931‌
500,000
e
Comerica
Bank
2.500
07/23/24
469,800‌
200,000
e
Comerica
Bank
4.000
07/27/25
184,233‌
1,000,000
Comerica
Bank
5.332
08/25/33
800,605‌
550,000
e
Comerica,
Inc
4.000
02/01/29
456,796‌
1,500,000
Commonwealth
Bank
of
Australia
5.316
03/13/26
1,504,137‌
300,000
Cooperatieve
Rabobank
UA
3.875
08/22/24
293,855‌
2,050,000
Cooperatieve
Rabobank
UA
3.375
05/21/25
1,975,233‌
600,000
Cooperatieve
Rabobank
UA
4.375
08/04/25
579,083‌
2,700,000
Cooperatieve
Rabobank
UA
3.750
07/21/26
2,520,768‌
550,000
Cooperatieve
Rabobank
UA
5.250
05/24/41
574,784‌
1,400,000
Cooperatieve
Rabobank
UA
5.750
12/01/43
1,406,268‌
600,000
Cooperatieve
Rabobank
UA
5.250
08/04/45
561,052‌
1,350,000
Discover
Bank
4.200
08/08/23
1,347,357‌
1,000,000
Discover
Bank
2.450
09/12/24
947,018‌
7
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
200,000
Discover
Bank
4.250
%
03/13/26
$
189,040‌
1,125,000
Discover
Bank
3.450
07/27/26
1,035,463‌
300,000
Discover
Bank
4.682
08/09/28
274,292‌
350,000
Discover
Bank
4.650
09/13/28
324,905‌
325,000
Discover
Bank
2.700
02/06/30
262,205‌
450,000
e
Fifth
Third
Bancorp
4.300
01/16/24
443,917‌
300,000
Fifth
Third
Bancorp
2.550
05/05/27
264,986‌
1,000,000
Fifth
Third
Bancorp
1.707
11/01/27
854,125‌
500,000
Fifth
Third
Bancorp
3.950
03/14/28
459,840‌
1,000,000
Fifth
Third
Bancorp
4.055
04/25/28
920,024‌
1,000,000
Fifth
Third
Bancorp
6.361
10/27/28
995,585‌
1,000,000
Fifth
Third
Bancorp
4.772
07/28/30
934,438‌
140,000
Fifth
Third
Bancorp
8.250
03/01/38
160,503‌
300,000
Fifth
Third
Bank
3.950
07/28/25
286,039‌
2,400,000
Fifth
Third
Bank
3.850
03/15/26
2,214,763‌
1,000,000
Fifth
Third
Bank
2.250
02/01/27
874,962‌
500,000
First
Citizens
BancShares,
Inc
3.375
03/15/30
457,125‌
500,000
e
First
Horizon
Bank
5.750
05/01/30
434,213‌
500,000
First
Horizon
National
Corp
4.000
05/26/25
467,009‌
33,000
HSBC
Bank
USA
NA
7.000
01/15/39
35,856‌
2,625,000
HSBC
Holdings
plc
4.250
03/14/24
2,591,481‌
450,000
HSBC
Holdings
plc
4.250
08/18/25
432,200‌
2,000,000
HSBC
Holdings
plc
2.633
11/07/25
1,899,817‌
1,875,000
HSBC
Holdings
plc
4.300
03/08/26
1,812,237‌
825,000
HSBC
Holdings
plc
1.645
04/18/26
759,901‌
2,475,000
HSBC
Holdings
plc
3.900
05/25/26
2,358,424‌
1,500,000
HSBC
Holdings
plc
2.099
06/04/26
1,388,032‌
1,100,000
HSBC
Holdings
plc
4.292
09/12/26
1,057,881‌
450,000
HSBC
Holdings
plc
4.375
11/23/26
425,303‌
4,000,000
HSBC
Holdings
plc
1.589
05/24/27
3,530,242‌
3,000,000
HSBC
Holdings
plc
2.251
11/22/27
2,661,932‌
3,925,000
HSBC
Holdings
plc
4
.041
03/13/28
3,675,810‌
1,500,000
HSBC
Holdings
plc
4.755
06/09/28
1,441,211‌
1,500,000
HSBC
Holdings
plc
5.210
08/11/28
1,466,647‌
5,000,000
HSBC
Holdings
plc
2.013
09/22/28
4,284,517‌
1,575,000
HSBC
Holdings
plc
7.390
11/03/28
1,662,228‌
975,000
HSBC
Holdings
plc
6.161
03/09/29
983,297‌
2,500,000
HSBC
Holdings
plc
4.583
06/19/29
2,352,702‌
1,600,000
HSBC
Holdings
plc
2.206
08/17/29
1,338,507‌
4,000,000
HSBC
Holdings
plc
3.973
05/22/30
3,591,935‌
3,000,000
HSBC
Holdings
plc
2.848
06/04/31
2,488,641‌
750,000
HSBC
Holdings
plc
2.357
08/18/31
598,663‌
2,350,000
HSBC
Holdings
plc
2.804
05/24/32
1,900,703‌
3,500,000
HSBC
Holdings
plc
2.871
11/22/32
2,821,993‌
1,500,000
HSBC
Holdings
plc
4.762
03/29/33
1,353,723‌
1,825,000
HSBC
Holdings
plc
5.402
08/11/33
1,784,239‌
2,000,000
HSBC
Holdings
plc
8.113
11/03/33
2,220,223‌
2,000,000
HSBC
Holdings
plc
6.254
03/09/34
2,050,098‌
2,000,000
HSBC
Holdings
plc
6.547
06/20/34
1,992,237‌
300,000
HSBC
Holdings
plc
6.500
05/02/36
297,740‌
2,700,000
HSBC
Holdings
plc
6.500
09/15/37
2,695,365‌
200,000
HSBC
Holdings
plc
6.800
06/01/38
201,956‌
550,000
HSBC
Holdings
plc
6.100
01/14/42
582,404‌
2,000,000
HSBC
Holdings
plc
6.332
03/09/44
2,073,228‌
1,175,000
HSBC
Holdings
plc
5.250
03/14/44
1,060,651‌
1,250,000
HSBC
USA,
Inc
3.500
06/23/24
1,220,787‌
500,000
Huntington
Bancshares,
Inc
4.000
05/15/25
479,273‌
1,000,000
Huntington
Bancshares,
Inc
4.443
08/04/28
928,988‌
1,000,000
Huntington
Bancshares,
Inc
2.550
02/04/30
801,200‌
500,000
Huntington
Bancshares,
Inc
5.023
05/17/33
457,003‌
500,000
Huntington
Bancshares,
Inc
2.487
08/15/36
352,507‌
Bond
Index
Fund
June
30,
2023
8
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
1,000,000
e
Huntington
National
Bank
4.552
%
05/17/28
$
932,887‌
1,500,000
Huntington
National
Bank
5.650
01/10/30
1,432,255‌
4,750,000
Industrial
&
Commercial
Bank
of
China
Ltd
3.538
11/08/27
4,485,796‌
1,200,000
ING
Groep
NV
4.100
10/02/23
1,194,473‌
575,000
ING
Groep
NV
3.550
04/09/24
564,405‌
1,250,000
ING
Groep
NV
3.950
03/29/27
1,183,757‌
1,500,000
ING
Groep
NV
1.726
04/01/27
1,335,844‌
600,000
ING
Groep
NV
4.017
03/28/28
562,922‌
1,500,000
ING
Groep
NV
4
.550
10/02/28
1,435,144‌
1,325,000
ING
Groep
NV
4.050
04/09/29
1,234,809‌
475,000
ING
Groep
NV
2.727
04/01/32
391,845‌
300,000
e
ING
Groep
NV
4.252
03/28/33
274,261‌
1,525,000
JPMorgan
Chase
&
Co
3.625
05/13/24
1,498,042‌
2,675,000
JPMorgan
Chase
&
Co
3.875
09/10/24
2,611,583‌
625,000
JPMorgan
Chase
&
Co
3.125
01/23/25
604,530‌
1,200,000
JPMorgan
Chase
&
Co
3.220
03/01/25
1,176,264‌
2,125,000
JPMorgan
Chase
&
Co
3.900
07/15/25
2,071,495‌
2,000,000
JPMorgan
Chase
&
Co
2.301
10/15/25
1,905,823‌
6,000,000
JPMorgan
Chase
&
Co
5.546
12/15/25
5,974,648‌
2,500,000
JPMorgan
Chase
&
Co
2.595
02/24/26
2,370,608‌
2,000,000
JPMorgan
Chase
&
Co
2.005
03/13/26
1,878,421‌
3,125,000
JPMorgan
Chase
&
Co
3.300
04/01/26
2,977,115‌
2,000,000
JPMorgan
Chase
&
Co
2.083
04/22/26
1,873,003‌
4,000,000
JPMorgan
Chase
&
Co
4.080
04/26/26
3,887,058‌
1,450,000
JPMorgan
Chase
&
Co
3.200
06/15/26
1,381,645‌
1,000,000
JPMorgan
Chase
&
Co
2.950
10/01/26
937,285‌
4,000,000
JPMorgan
Chase
&
Co
1.045
11/19/26
3,582,915‌
1,350,000
JPMorgan
Chase
&
Co
4.125
12/15/26
1,299,673‌
2,450,000
JPMorgan
Chase
&
Co
3.960
01/29/27
2,355,583‌
4,000,000
JPMorgan
Chase
&
Co
1.040
02/04/27
3,562,193‌
5,200,000
JPMorgan
Chase
&
Co
1.578
04/22/27
4,670,708‌
3,000,000
JPMorgan
Chase
&
Co
1.470
09/22/27
2,648,470‌
250,000
JPMorgan
Chase
&
Co
4.250
10/01/27
242,218‌
325,000
JPMorgan
Chase
&
Co
3.625
12/01/27
304,675‌
1,375,000
JPMorgan
Chase
&
Co
3.782
02/01/28
1,307,954‌
1,000,000
JPMorgan
Chase
&
Co
2.947
02/24/28
918,166‌
4,000,000
JPMorgan
Chase
&
Co
4.323
04/26/28
3,860,940‌
425,000
JPMorgan
Chase
&
Co
3.540
05/01/28
397,309‌
6,000,000
JPMorgan
Chase
&
Co
2.182
06/01/28
5,332,356‌
1,000,000
JPMorgan
Chase
&
Co
4.851
07/25/28
986,604‌
3,000,000
JPMorgan
Chase
&
Co
2.069
06/01/29
2,572,888‌
2,050,000
JPMorgan
Chase
&
Co
4.203
07/23/29
1,948,452‌
1,750,000
JPMorgan
Chase
&
Co
4.452
12/05/29
1,677,002‌
4,500,000
JPMorgan
Chase
&
Co
3.702
05/06/30
4,123,929‌
1,500,000
JPMorgan
Chase
&
Co
4.565
06/14/30
1,441,189‌
2,000,000
JPMorgan
Chase
&
Co
2.522
04/22/31
1,691,689‌
1,425,000
JPMorgan
Chase
&
Co
2.956
05/13/31
1,221,867‌
5,000,000
JPMorgan
Chase
&
Co
1.764
11/19/31
3,957,089‌
2,250,000
JPMorgan
Chase
&
Co
1.953
02/04/32
1,792,777‌
3,000,000
JPMorgan
Chase
&
Co
2.580
04/22/32
2,491,852‌
3,000,000
JPMorgan
Chase
&
Co
2.545
11/08/32
2,457,973‌
6,000,000
JPMorgan
Chase
&
Co
2.963
01/25/33
5,054,478‌
2,000,000
JPMorgan
Chase
&
Co
4.586
04/26/33
1,906,585‌
2,000,000
JPMorgan
Chase
&
Co
4.912
07/25/33
1,954,347‌
4,000,000
JPMorgan
Chase
&
Co
5.717
09/14/33
4,057,973‌
3,000,000
JPMorgan
Chase
&
Co
5.350
06/01/34
3,023,908‌
958,000
JPMorgan
Chase
&
Co
5.500
10/15/40
983,552‌
2,000,000
JPMorgan
Chase
&
Co
3.109
04/22/41
1,517,870‌
4,500,000
JPMorgan
Chase
&
Co
2.525
11/19/41
3,095,399‌
2,500,000
JPMorgan
Chase
&
Co
3.157
04/22/42
1,887,249‌
1,000,000
JPMorgan
Chase
&
Co
5.625
08/16/43
1,025,115‌
9
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
1,800,000
JPMorgan
Chase
&
Co
4.950
%
06/01/45
$
1,680,145‌
2,050,000
JPMorgan
Chase
&
Co
4.260
02/22/48
1,768,830‌
1,000,000
JPMorgan
Chase
&
Co
4.032
07/24/48
829,674‌
4,500,000
JPMorgan
Chase
&
Co
3
.964
11/15/48
3,699,485‌
1,750,000
JPMorgan
Chase
&
Co
3.897
01/23/49
1,414,573‌
2,000,000
JPMorgan
Chase
&
Co
3.109
04/22/51
1,397,369‌
1,500,000
JPMorgan
Chase
&
Co
3.328
04/22/52
1,093,271‌
750,000
e
JPMorgan
Chase
&
Co
6.000
N/A‡
750,540‌
750,000
KeyBank
NA
3.300
06/01/25
686,755‌
300,000
KeyBank
NA
3.400
05/20/26
258,430‌
1,000,000
KeyBank
NA
5.850
11/15/27
941,673‌
1,000,000
KeyBank
NA
3.180
12/14/27
885,539‌
250,000
KeyBank
NA
3.900
04/13/29
195,630‌
1,500,000
KeyBank
NA
4.900
08/08/32
1,191,659‌
625,000
KeyBank
NA
5.000
01/26/33
540,911‌
200,000
KeyCorp
4.150
10/29/25
185,072‌
500,000
KeyCorp
4.100
04/30/28
432,130‌
1,000,000
KeyCorp
2.550
10/01/29
754,635‌
300,000
KeyCorp
4.789
06/01/33
251,501‌
1,800,000
Lloyds
Banking
Group
plc
3.900
03/12/24
1,771,747‌
2,750,000
Lloyds
Banking
Group
plc
4.500
11/04/24
2,669,684‌
1,375,000
Lloyds
Banking
Group
plc
4.450
05/08/25
1,332,208‌
325,000
Lloyds
Banking
Group
plc
4.582
12/10/25
311,239‌
1,000,000
Lloyds
Banking
Group
plc
2.438
02/05/26
941,466‌
1,000,000
Lloyds
Banking
Group
plc
3.511
03/18/26
951,806‌
225,000
Lloyds
Banking
Group
plc
4.650
03/24/26
214,880‌
1,250,000
Lloyds
Banking
Group
plc
4.716
08/11/26
1,214,473‌
500,000
Lloyds
Banking
Group
plc
3.750
01/11/27
468,333‌
2,000,000
Lloyds
Banking
Group
plc
1.627
05/11/27
1,769,037‌
1,000,000
Lloyds
Banking
Group
plc
3.750
03/18/28
923,317‌
500,000
Lloyds
Banking
Group
plc
4.375
03/22/28
474,054‌
700,000
Lloyds
Banking
Group
plc
4.550
08/16/28
662,243‌
1,825,000
Lloyds
Banking
Group
plc
3.574
11/07/28
1,652,859‌
500,000
Lloyds
Banking
Group
plc
5.871
03/06/29
495,776‌
1,250,000
Lloyds
Banking
Group
plc
4.976
08/11/33
1,169,251‌
1,500,000
Lloyds
Banking
Group
plc
7.953
11/15/33
1,627,310‌
1,550,000
Lloyds
Banking
Group
plc
4.344
01/09/48
1,180,203‌
1,500,000
M&T
Bank
Corp
5.053
01/27/34
1,369,978‌
1,100,000
Manufacturers
&
Traders
Trust
Co
2.900
02/06/25
1,037,795‌
1,000,000
Manufacturers
&
Traders
Trust
Co
5.400
11/21/25
968,959‌
1,000,000
Manufacturers
&
Traders
Trust
Co
4.700
01/27/28
935,096‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.801
07/18/24
968,422‌
2,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.193
02/25/25
1,884,708‌
1,625,000
Mitsubishi
UFJ
Financial
Group,
Inc
3.777
03/02/25
1,573,746‌
2,500,000
Mitsubishi
UFJ
Financial
Group,
Inc
1.412
07/17/25
2,288,945‌
750,000
Mitsubishi
UFJ
Financial
Group,
Inc
0.962
10/11/25
699,773‌
207,000
Mitsubishi
UFJ
Financial
Group,
Inc
3.850
03/01/26
198,329‌
225,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.757
09/13/26
205,936‌
650,000
e
Mitsubishi
UFJ
Financial
Group,
Inc
3.677
02/22/27
624,865‌
2,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
1.538
07/20/27
1,765,130‌
700,000
Mitsubishi
UFJ
Financial
Group,
Inc
3.287
07/25/27
648,952‌
750,000
Mitsubishi
UFJ
Financial
Group,
Inc
1.640
10/13/27
659,955‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.341
01/19/28
894,397‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
3.961
03/02/28
950,767‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
4.080
04/19/28
948,588‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.017
07/20/28
980,060‌
300,000
Mitsubishi
UFJ
Financial
Group,
Inc
4.050
09/11/28
282,772‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.354
09/13/28
992,494‌
2,500,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.422
02/22/29
2,486,751‌
1,250,000
Mitsubishi
UFJ
Financial
Group,
Inc
3.741
03/07/29
1,141,421‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.242
04/19/29
983,740‌
Bond
Index
Fund
June
30,
2023
10
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
3.195
%
07/18/29
$
883,295‌
1,500,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.559
02/25/30
1,272,986‌
1,250,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.048
07/17/30
1,013,475‌
2,500,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.475
02/22/31
2,486,245‌
1,700,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.309
07/20/32
1,352,797‌
500,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.494
10/13/32
401,965‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
2.852
01/19/33
824,153‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
4.315
04/19/33
927,839‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.133
07/20/33
980,285‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.472
09/13/33
1,006,217‌
2,500,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.441
02/22/34
2,490,618‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
5.406
04/19/34
992,275‌
300,000
Mitsubishi
UFJ
Financial
Group,
Inc
4.286
07/26/38
266,880‌
500,000
Mitsubishi
UFJ
Financial
Group,
Inc
4.153
03/07/39
446,407‌
1,425,000
Mitsubishi
UFJ
Financial
Group,
Inc
3.751
07/18/39
1,207,849‌
500,000
Mizuho
Financial
Group,
Inc
2.555
09/13/25
477,366‌
500,000
Mizuho
Financial
Group,
Inc
2.226
05/25/26
463,627‌
200,000
Mizuho
Financial
Group,
Inc
3.663
02/28/27
188,494‌
1,000,000
Mizuho
Financial
Group,
Inc
1.234
05/22/27
878,640‌
1,000,000
Mizuho
Financial
Group,
Inc
1.554
07/09/27
882,199‌
725,000
Mizuho
Financial
Group,
Inc
4.018
03/05/28
681,527‌
1,000,000
Mizuho
Financial
Group,
Inc
5.667
05/27/29
997,740‌
1,500,000
Mizuho
Financial
Group,
Inc
5.778
07/06/29
1,503,701‌
625,000
Mizuho
Financial
Group,
Inc
4.254
09/11/29
584,217‌
1,000,000
Mizuho
Financial
Group,
Inc
3.261
05/22/30
882,110‌
1,000,000
Mizuho
Financial
Group,
Inc
3.153
07/16/30
862,835‌
500,000
Mizuho
Financial
Group,
Inc
2
.869
09/13/30
423,048‌
500,000
Mizuho
Financial
Group,
Inc
2.591
05/25/31
414,210‌
1,000,000
Mizuho
Financial
Group,
Inc
5.739
05/27/31
998,462‌
1,000,000
Mizuho
Financial
Group,
Inc
2.201
07/10/31
800,595‌
1,000,000
Mizuho
Financial
Group,
Inc
1.979
09/08/31
790,089‌
700,000
Mizuho
Financial
Group,
Inc
2.564
09/13/31
550,692‌
1,000,000
e
Mizuho
Financial
Group,
Inc
2.172
05/22/32
779,881‌
500,000
Mizuho
Financial
Group,
Inc
2.260
07/09/32
389,734‌
1,000,000
Mizuho
Financial
Group,
Inc
5.669
09/13/33
1,007,151‌
1,000,000
Mizuho
Financial
Group,
Inc
5.754
05/27/34
1,005,027‌
1,500,000
Mizuho
Financial
Group,
Inc
5.748
07/06/34
1,504,465‌
1,500,000
National
Australia
Bank
Ltd
5.132
11/22/24
1,493,101‌
300,000
National
Australia
Bank
Ltd
3.375
01/14/26
287,498‌
750,000
National
Australia
Bank
Ltd
2.500
07/12/26
693,400‌
1,000,000
National
Australia
Bank
Ltd
3.905
06/09/27
957,961‌
2,000,000
National
Australia
Bank
Ltd
4.944
01/12/28
1,998,895‌
1,500,000
National
Australia
Bank
Ltd
4.900
06/13/28
1,485,195‌
1,000,000
National
Bank
of
Canada
0.750
08/06/24
943,376‌
800,000
Natwest
Group
plc
1.642
06/14/27
704,032‌
800,000
Natwest
Group
plc
3.032
11/28/35
613,777‌
2,000,000
NatWest
Group
plc
7.472
11/10/26
2,045,514‌
700,000
NatWest
Group
plc
5.516
09/30/28
686,168‌
1,000,000
NatWest
Group
plc
5.808
09/13/29
985,305‌
1,500,000
NatWest
Group
plc
6.016
03/02/34
1,508,002‌
300,000
People's
United
Bank
NA
4.000
07/15/24
292,218‌
600,000
PNC
Bank
NA
2.950
02/23/25
571,178‌
550,000
PNC
Bank
NA
3.250
06/01/25
524,128‌
903,000
PNC
Bank
NA
4.050
07/26/28
831,876‌
475,000
PNC
Bank
NA
2.700
10/22/29
396,926‌
300,000
PNC
Financial
Services
Group,
Inc
3.900
04/29/24
294,519‌
500,000
PNC
Financial
Services
Group,
Inc
2.200
11/01/24
475,084‌
1,500,000
PNC
Financial
Services
Group,
Inc
2.600
07/23/26
1,384,024‌
3,000,000
PNC
Financial
Services
Group,
Inc
1.150
08/13/26
2,631,951‌
300,000
PNC
Financial
Services
Group,
Inc
3.150
05/19/27
276,872‌
1,500,000
PNC
Financial
Services
Group,
Inc
5.354
12/02/28
1,483,321‌
11
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
1,575,000
PNC
Financial
Services
Group,
Inc
3.450
%
04/23/29
$
1,418,062‌
2,000,000
PNC
Financial
Services
Group,
Inc
5.582
06/12/29
1,990,588‌
2,000,000
PNC
Financial
Services
Group,
Inc
2.550
01/22/30
1,680,164‌
750,000
PNC
Financial
Services
Group,
Inc
4.626
06/06/33
689,912‌
1,000,000
PNC
Financial
Services
Group,
Inc
6.037
10/28/33
1,023,372‌
900,000
PNC
Financial
Services
Group,
Inc
5.068
01/24/34
863,064‌
825,000
PNC
Financial
Services
Group,
Inc
6.200
N/A‡
769,024‌
300,000
Regions
Bank
6.450
06/26/37
295,171‌
225,000
Regions
Financial
Corp
2.250
05/18/25
208,098‌
1,000,000
Regions
Financial
Corp
1.800
08/12/28
807,734‌
1,000,000
Royal
Bank
of
Canada
2.550
07/16/24
969,226‌
750,000
Royal
Bank
of
Canada
2.250
11/01/24
715,637‌
1,000,000
Royal
Bank
of
Canada
3.375
04/14/25
962,675‌
2,000,000
Royal
Bank
of
Canada
1.150
06/10/25
1,846,206‌
1,000,000
Royal
Bank
of
Canada
0.875
01/20/26
894,709‌
1,000,000
Royal
Bank
of
Canada
4.650
01/27/26
973,696‌
2,000,000
Royal
Bank
of
Canada
1.200
04/27/26
1,783,501‌
2,000,000
Royal
Bank
of
Canada
1.150
07/14/26
1,769,392‌
1,500,000
Royal
Bank
of
Canada
1.400
11/02/26
1,320,770‌
1,000,000
Royal
Bank
of
Canada
3.625
05/04/27
946,336‌
1,000,000
Royal
Bank
of
Canada
4.240
08/03/27
964,787‌
1,500,000
Royal
Bank
of
Canada
6.000
11/01/27
1,536,100‌
1,500,000
Royal
Bank
of
Canada
4.900
01/12/28
1,480,388‌
1,600,000
Royal
Bank
of
Canada
2.300
11/03/31
1,299,490‌
500,000
Royal
Bank
of
Canada
3.875
05/04/32
457,783‌
1,000,000
Royal
Bank
of
Canada
5.000
02/01/33
980,047‌
4,000,000
Royal
Bank
of
Canada
5.000
05/02/33
3,903,280‌
750,000
Royal
Bank
of
Scotland
Group
plc
4.269
03/22/25
736,703‌
750,000
Royal
Bank
of
Scotland
Group
plc
4.800
04/05/26
727,980‌
300,000
Royal
Bank
of
Scotland
Group
plc
3.073
05/22/28
269,810‌
1,000,000
Royal
Bank
of
Scotland
Group
plc
4.892
05/18/29
951,246‌
750,000
Royal
Bank
of
Scotland
Group
plc
3.754
11/01/29
704,015‌
3,000,000
Royal
Bank
of
Scotland
Group
plc
5.076
01/27/30
2,861,388‌
1,500,000
Royal
Bank
of
Scotland
Group
plc
4.445
05/08/30
1,378,730‌
375,000
Santander
Holdings
USA,
Inc
3.500
06/07/24
364,135‌
1,000,000
Santander
Holdings
USA,
Inc
3.450
06/02/25
942,980‌
775,000
Santander
Holdings
USA,
Inc
4.500
07/17/25
752,241‌
1,850,000
Santander
Holdings
USA,
Inc
3.244
10/05/26
1,665,650‌
650,000
Santander
Holdings
USA,
Inc
4.400
07/13/27
610,428‌
2,000,000
Santander
Holdings
USA,
Inc
2.490
01/06/28
1,727,361‌
1,000,000
Santander
Holdings
USA,
Inc
6.499
03/09/29
989,133‌
1,000,000
Santander
Holdings
USA,
Inc
6.565
06/12/29
980,588‌
1,000,000
Santander
UK
Group
Holdings
plc
1.532
08/21/26
890,394‌
1,000,000
Santander
UK
Group
Holdings
plc
1.673
06/14/27
861,537‌
2,000,000
Santander
UK
Group
Holdings
plc
2.469
01/11/28
1,745,965‌
500,000
Santander
UK
Group
Holdings
plc
3.823
11/03/28
449,968‌
750,000
Santander
UK
Group
Holdings
plc
2.896
03/15/32
606,516‌
500,000
Sumitomo
Mitsui
Banking
Corp
3.400
07/11/24
487,751‌
250,000
Sumitomo
Mitsui
Banking
Corp
3.650
07/23/25
238,469‌
1,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.448
09/27/24
957,847‌
1,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
0.948
01/12/26
891,409‌
1,300,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.784
03/09/26
1,242,549‌
1,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
1.402
09/17/26
879,322‌
700,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.010
10/19/26
646,992‌
725,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.446
01/11/27
678,904‌
1,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.174
01/14/27
893,471‌
775,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.364
07/12/27
723,185‌
500,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.352
10/18/27
459,323‌
2,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
5.520
01/13/28
2,007,653‌
675,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.544
01/17/28
622,801‌
750,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.944
07/19/28
698,884‌
Bond
Index
Fund
June
30,
2023
12
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
1,500,000
Sumitomo
Mitsui
Financial
Group,
Inc
1.902
%
09/17/28
$
1,260,014‌
500,000
Sumitomo
Mitsui
Financial
Group,
Inc
4.306
10/16/28
472,416‌
1,500,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.472
01/14/29
1,279,077‌
1,500,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.040
07/16/29
1,310,308‌
500,000
Sumitomo
Mitsui
Financial
Group,
Inc
3.202
09/17/29
436,195‌
1,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.724
09/27/29
851,364‌
2,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
5.710
01/13/30
2,023,954‌
1,500,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.750
01/15/30
1,293,821‌
1,500,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.130
07/08/30
1,220,614‌
1,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.142
09/23/30
800,614‌
1,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
1.710
01/12/31
778,705‌
1,500,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.222
09/17/31
1,197,753‌
1,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
5.766
01/13/33
1,028,930‌
1,500,000
Sumitomo
Mitsui
Financial
Group,
Inc
2.296
01/12/41
1,002,556‌
1,000,000
e
Sumitomo
Mitsui
Financial
Group,
Inc
2.930
09/17/41
705,620‌
1,500,000
e
Sumitomo
Mitsui
Financial
Group,
Inc
3.050
01/14/42
1,118,970‌
1,000,000
Synchrony
Bank
5.625
08/23/27
938,270‌
1,000,000
Synovus
Bank
5.625
02/15/28
903,488‌
1,000,000
Synovus
Financial
Corp
5.200
08/11/25
952,401‌
1,525,000
Toronto-Dominion
Bank
3.250
03/11/24
1,499,275‌
1,250,000
Toronto-Dominion
Bank
2.650
06/12/24
1,212,222‌
1,000,000
Toronto-Dominion
Bank
1.150
06/12/25
921,565‌
1,000,000
Toronto-Dominion
Bank
0.750
09/11/25
905,338‌
2,000,000
Toronto-Dominion
Bank
0.750
01/06/26
1,785,663‌
2,000,000
Toronto-Dominion
Bank
1.200
06/03/26
1,778,547‌
1,500,000
Toronto-Dominion
Bank
1.250
09/10/26
1,325,974‌
1,000,000
Toronto-Dominion
Bank
1.950
01/12/27
898,906‌
1,000,000
Toronto-Dominion
Bank
2.800
03/10/27
916,621‌
3,000,000
Toronto-Dominion
Bank
4.108
06/08/27
2,869,165‌
1,500,000
Toronto-Dominion
Bank
4.693
09/15/27
1,468,057‌
1,000,000
Toronto-Dominion
Bank
5.156
01/10/28
993,351‌
1,500,000
Toronto-Dominion
Bank
2.000
09/10/31
1,190,277‌
1,000,000
Toronto-Dominion
Bank
3.625
09/15/31
922,632‌
1,000,000
Toronto-Dominion
Bank
2.450
01/12/32
820,060‌
500,000
Toronto-Dominion
Bank
3.200
03/10/32
432,384‌
800,000
Toronto-Dominion
Bank
4.456
06/08/32
759,152‌
500,000
Truist
Bank
3.689
08/02/24
498,561‌
750,000
Truist
Bank
2.150
12/06/24
707,161‌
1,000,000
Truist
Bank
1.500
03/10/25
923,631‌
500,000
Truist
Bank
3.625
09/16/25
467,128‌
200,000
Truist
Bank
4.050
11/03/25
190,753‌
375,000
Truist
Bank
3.300
05/15/26
343,824‌
500,000
Truist
Bank
3.800
10/30/26
455,554‌
750,000
Truist
Bank
2.636
09/17/29
692,323‌
475,000
Truist
Bank
2.250
03/11/30
377,392‌
1,000,000
Truist
Financial
Corp
2.500
08/01/24
960,466‌
825,000
Truist
Financial
Corp
2.850
10/26/24
791,917‌
900,000
Truist
Financial
Corp
4.000
05/01/25
868,962‌
975,000
Truist
Financial
Corp
3.700
06/05/25
934,598‌
750,000
Truist
Financial
Corp
1.200
08/05/25
679,627‌
1,000,000
Truist
Financial
Corp
4.260
07/28/26
961,117‌
1,300,000
Truist
Financial
Corp
1.267
03/02/27
1,146,406‌
1,000,000
Truist
Financial
Corp
1.125
08/03/27
841,939‌
750,000
Truist
Financial
Corp
4.123
06/06/28
706,708‌
1,000,000
Truist
Financial
Corp
4.873
01/26/29
961,173‌
500,000
Truist
Financial
Corp
3.875
03/19/29
447,782‌
2,000,000
Truist
Financial
Corp
1.887
06/07/29
1,662,420‌
1,000,000
Truist
Financial
Corp
4.916
07/28/33
913,845‌
1,000,000
Truist
Financial
Corp
6.123
10/28/33
1,014,823‌
100,000
Truist
Financial
Corp
5.122
01/26/34
94,762‌
3,000,000
Truist
Financial
Corp
5.867
06/08/34
3,001,234‌
13
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
2,225,000
US
Bancorp
3.600
%
09/11/24
$
2,162,354‌
125,000
US
Bancorp
3.950
11/17/25
120,164‌
750,000
US
Bancorp
3.100
04/27/26
700,899‌
700,000
US
Bancorp
2.375
07/22/26
639,351‌
1,175,000
US
Bancorp
3.150
04/27/27
1,085,772‌
750,000
US
Bancorp
3.900
04/26/28
704,948‌
600,000
US
Bancorp
3.000
07/30/29
507,588‌
2,500,000
US
Bancorp
1.375
07/22/30
1,911,881‌
1,000,000
US
Bancorp
4.967
07/22/33
905,977‌
1,000,000
US
Bancorp
5.850
10/21/33
1,001,329‌
1,000,000
US
Bancorp
2.491
11/03/36
731,487‌
750,000
US
Bank
NA
2.800
01/27/25
715,901‌
1,000,000
e
Valley
National
Bancorp
3.000
06/15/31
788,440‌
125,000
Wachovia
Corp
5.500
08/01/35
122,574‌
200,000
Webster
Financial
Corp
4.100
03/25/29
170,013‌
2,700,000
Wells
Fargo
&
Co
3.300
09/09/24
2,630,238‌
4,100,000
Wells
Fargo
&
Co
3.000
02/19/25
3,935,038‌
1,125,000
Wells
Fargo
&
Co
3.550
09/29/25
1,078,257‌
2,000,000
Wells
Fargo
&
Co
2.406
10/30/25
1,904,414‌
1,500,000
Wells
Fargo
&
Co
2.164
02/11/26
1,412,506‌
3,350,000
Wells
Fargo
&
Co
3.000
04/22/26
3,150,003‌
2,000,000
Wells
Fargo
&
Co
3.908
04/25/26
1,933,564‌
1,000,000
Wells
Fargo
&
Co
2
.188
04/30/26
936,937‌
1,250,000
Wells
Fargo
&
Co
4.100
06/03/26
1,199,255‌
1,700,000
Wells
Fargo
&
Co
4.540
08/15/26
1,661,054‌
2,575,000
Wells
Fargo
&
Co
3.000
10/23/26
2,390,279‌
1,500,000
Wells
Fargo
&
Co
3.196
06/17/27
1,408,725‌
1,200,000
Wells
Fargo
&
Co
4.300
07/22/27
1,151,145‌
1,300,000
Wells
Fargo
&
Co
3.526
03/24/28
1,213,354‌
2,125,000
Wells
Fargo
&
Co
3.584
05/22/28
1,979,103‌
5,000,000
Wells
Fargo
&
Co
2.393
06/02/28
4,455,654‌
1,000,000
Wells
Fargo
&
Co
4.808
07/25/28
977,423‌
6,175,000
Wells
Fargo
&
Co
4.150
01/24/29
5,852,161‌
4,950,000
Wells
Fargo
&
Co
2.879
10/30/30
4,275,239‌
3,000,000
Wells
Fargo
&
Co
2.572
02/11/31
2,540,069‌
5,000,000
Wells
Fargo
&
Co
4.478
04/04/31
4,753,989‌
6,000,000
Wells
Fargo
&
Co
3.350
03/02/33
5,135,122‌
3,500,000
Wells
Fargo
&
Co
4.897
07/25/33
3,357,243‌
3,000,000
Wells
Fargo
&
Co
5.389
04/24/34
2,980,842‌
7,025,000
Wells
Fargo
&
Co
3.068
04/30/41
5,166,999‌
1,050,000
Wells
Fargo
&
Co
5.375
11/02/43
988,545‌
1,468,000
Wells
Fargo
&
Co
5.606
01/15/44
1,409,306‌
475,000
Wells
Fargo
&
Co
4.650
11/04/44
402,950‌
1,500,000
Wells
Fargo
&
Co
3.900
05/01/45
1,200,740‌
950,000
Wells
Fargo
&
Co
4.900
11/17/45
836,048‌
3,250,000
Wells
Fargo
&
Co
4.400
06/14/46
2,639,328‌
1,975,000
Wells
Fargo
&
Co
4.750
12/07/46
1,681,080‌
1,500,000
Wells
Fargo
&
Co
5.013
04/04/51
1,397,109‌
2,000,000
Wells
Fargo
&
Co
4.611
04/25/53
1,753,796‌
250,000
Wells
Fargo
Bank
NA
6.600
01/15/38
271,039‌
2,000,000
Westpac
Banking
Corp
2.350
02/19/25
1,908,461‌
1,000,000
Westpac
Banking
Corp
2.850
05/13/26
940,897‌
2,000,000
Westpac
Banking
Corp
1.150
06/03/26
1,781,230‌
675,000
Westpac
Banking
Corp
2.700
08/19/26
627,427‌
850,000
Westpac
Banking
Corp
3.350
03/08/27
800,471‌
1,500,000
Westpac
Banking
Corp
4.043
08/26/27
1,453,266‌
2,000,000
Westpac
Banking
Corp
5.457
11/18/27
2,029,642‌
725,000
Westpac
Banking
Corp
3
.400
01/25/28
679,062‌
2,000,000
Westpac
Banking
Corp
1.953
11/20/28
1,714,436‌
1,000,000
Westpac
Banking
Corp
2.894
02/04/30
934,326‌
1,500,000
e
Westpac
Banking
Corp
2.150
06/03/31
1,261,226‌
Bond
Index
Fund
June
30,
2023
14
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
950,000
Westpac
Banking
Corp
4.322
%
11/23/31
$
880,057‌
1,000,000
Westpac
Banking
Corp
5.405
08/10/33
947,412‌
600,000
Westpac
Banking
Corp
4.110
07/24/34
521,755‌
2,350,000
Westpac
Banking
Corp
2.668
11/15/35
1,803,358‌
500,000
Westpac
Banking
Corp
3.020
11/18/36
383,518‌
900,000
e
Westpac
Banking
Corp
4.421
07/24/39
739,982‌
225,000
Westpac
Banking
Corp
2.963
11/16/40
150,835‌
400,000
Zions
Bancorp
NA
3.250
10/29/29
293,586‌
TOTAL
BANKS
901,185,947‌
CAPITAL
GOODS
-
1.2%
1,000,000
e
3M
Co
2.000
02/14/25
943,235‌
1,200,000
e
3M
Co
3.000
08/07/25
1,145,555‌
675,000
e
3M
Co
2.875
10/15/27
617,718‌
925,000
e
3M
Co
3
.625
09/14/28
862,003‌
500,000
e
3M
Co
3.375
03/01/29
458,664‌
1,000,000
e
3M
Co
2.375
08/26/29
858,825‌
200,000
e
3M
Co
3.125
09/19/46
140,827‌
300,000
e
3M
Co
3.625
10/15/47
230,712‌
1,150,000
e
3M
Co
4.000
09/14/48
1,007,763‌
875,000
e
3M
Co
3.250
08/26/49
634,131‌
820,000
e
3M
Co
3.700
04/15/50
648,903‌
1,000,000
Acuity
Brands
Lighting,
Inc
2.150
12/15/30
802,972‌
750,000
Air
Lease
Corp
3.875
07/03/23
750,000‌
2,000,000
Air
Lease
Corp
0.700
02/15/24
1,937,178‌
750,000
Air
Lease
Corp
2.300
02/01/25
705,244‌
750,000
Air
Lease
Corp
3.375
07/01/25
710,829‌
1,000,000
Air
Lease
Corp
2.875
01/15/26
925,037‌
1,000,000
Air
Lease
Corp
3.750
06/01/26
945,011‌
1,500,000
Air
Lease
Corp
1.875
08/15/26
1,332,104‌
1,000,000
Air
Lease
Corp
2.200
01/15/27
886,743‌
500,000
Air
Lease
Corp
3.625
04/01/27
461,426‌
200,000
Air
Lease
Corp
3.625
12/01/27
182,459‌
1,000,000
Air
Lease
Corp
5.850
12/15/27
998,657‌
500,000
Air
Lease
Corp
5.300
02/01/28
490,633‌
300,000
Air
Lease
Corp
4.625
10/01/28
281,966‌
500,000
Air
Lease
Corp
3
.250
10/01/29
432,514‌
750,000
Air
Lease
Corp
3.000
02/01/30
627,168‌
500,000
Air
Lease
Corp
3.125
12/01/30
416,514‌
200,000
Aircastle
Ltd
4.400
09/25/23
198,979‌
1,000,000
Aircastle
Ltd
4.125
05/01/24
973,055‌
500,000
Aircastle
Ltd
4.250
06/15/26
470,881‌
500,000
Allegion
plc
3.500
10/01/29
441,581‌
200,000
Allegion
US
Holding
Co,
Inc
3.200
10/01/24
192,044‌
200,000
Allegion
US
Holding
Co,
Inc
3.550
10/01/27
184,962‌
500,000
Allegion
US
Holding
Co,
Inc
5.411
07/01/32
494,087‌
5,700,000
Boeing
Co
4.875
05/01/25
5,618,998‌
400,000
Boeing
Co
2.600
10/30/25
372,078‌
2,000,000
Boeing
Co
2.750
02/01/26
1,862,394‌
3,000,000
Boeing
Co
2.196
02/04/26
2,753,425‌
300,000
Boeing
Co
3.100
05/01/26
281,828‌
200,000
Boeing
Co
2.250
06/15/26
181,949‌
500,000
Boeing
Co
2.700
02/01/27
457,004‌
250,000
Boeing
Co
2.800
03/01/27
227,932‌
1,900,000
Boeing
Co
5.040
05/01/27
1,876,758‌
500,000
Boeing
Co
3.250
03/01/28
454,826‌
125,000
Boeing
Co
3.450
11/01/28
113,237‌
600,000
Boeing
Co
3.200
03/01/29
536,460‌
750,000
Boeing
Co
2.950
02/01/30
651,873‌
1,600,000
Boeing
Co
5.150
05/01/30
1,584,560‌
1,000,000
Boeing
Co
3.625
02/01/31
900,660‌
15
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CAPITAL
GOODS—continued
$
300,000
Boeing
Co
3.600
%
05/01/34
$
255,312‌
425,000
Boeing
Co
3.250
02/01/35
344,602‌
500,000
Boeing
Co
3.550
03/01/38
388,971‌
600,000
Boeing
Co
3.500
03/01/39
456,407‌
350,000
Boeing
Co
5.875
02/15/40
351,320‌
2,000,000
Boeing
Co
5.705
05/01/40
1,995,014‌
300,000
Boeing
Co
3
.375
06/15/46
210,254‌
250,000
Boeing
Co
3.650
03/01/47
178,755‌
100,000
Boeing
Co
3.625
03/01/48
70,957‌
100,000
Boeing
Co
3.850
11/01/48
73,727‌
5,000,000
Boeing
Co
5.805
05/01/50
4,981,754‌
125,000
Boeing
Co
3.825
03/01/59
89,266‌
750,000
Boeing
Co
3.950
08/01/59
553,896‌
4,500,000
Boeing
Co
5.930
05/01/60
4,456,743‌
200,000
Carlisle
Cos,
Inc
3.500
12/01/24
192,986‌
1,000,000
Carlisle
Cos,
Inc
2.750
03/01/30
852,419‌
1,000,000
Carlisle
Cos,
Inc
2.200
03/01/32
789,099‌
1,444,000
Carrier
Global
Corp
2.493
02/15/27
1,315,858‌
1,100,000
Carrier
Global
Corp
2.722
02/15/30
946,785‌
150,000
Carrier
Global
Corp
2.700
02/15/31
126,284‌
2,000,000
Carrier
Global
Corp
3.377
04/05/40
1,535,352‌
900,000
Carrier
Global
Corp
3.577
04/05/50
665,096‌
1,000,000
Caterpillar
Financial
Services
Corp
2.850
05/17/24
977,016‌
1,000,000
Caterpillar
Financial
Services
Corp
4.900
01/17/25
994,975‌
1,000,000
Caterpillar
Financial
Services
Corp
3.400
05/13/25
968,164‌
1,000,000
Caterpillar
Financial
Services
Corp
1.450
05/15/25
932,267‌
1,000,000
Caterpillar
Financial
Services
Corp
0.800
11/13/25
905,115‌
3,000,000
Caterpillar
Financial
Services
Corp
0.900
03/02/26
2,697,595‌
500,000
Caterpillar
Financial
Services
Corp
2.400
08/09/26
464,272‌
2,000,000
Caterpillar
Financial
Services
Corp
1.150
09/14/26
1,778,653‌
1,000,000
Caterpillar
Financial
Services
Corp
3.600
08/12/27
962,618‌
2,775,000
Caterpillar,
Inc
3.400
05/15/24
2,724,446‌
500,000
e
Caterpillar,
Inc
2.600
09/19/29
450,148‌
1,000,000
e
Caterpillar,
Inc
1.900
03/12/31
838,029‌
225,000
Caterpillar,
Inc
5.200
05/27/41
234,387‌
2,363,000
Caterpillar,
Inc
3.803
08/15/42
2,069,031‌
300,000
Caterpillar,
Inc
4.300
05/15/44
281,091‌
750,000
Caterpillar,
Inc
3.250
09/19/49
590,508‌
750,000
Caterpillar,
Inc
3.250
04/09/50
590,213‌
1,000,000
CNH
Industrial
Capital
LLC
1.875
01/15/26
913,154‌
1,000,000
CNH
Industrial
Capital
LLC
1.450
07/15/26
883,812‌
1,000,000
CNH
Industrial
Capital
LLC
4.550
04/10/28
966,936‌
500,000
CNH
Industrial
NV
3.850
11/15/27
469,807‌
500,000
Cummins,
Inc
0.750
09/01/25
455,201‌
1,000,000
Cummins,
Inc
1.500
09/01/30
809,075‌
200,000
Cummins,
Inc
4.875
10/01/43
188,862‌
750,000
Cummins,
Inc
2.600
09/01/50
483,052‌
218,000
Deere
&
Co
5.375
10/16/29
224,884‌
500,000
Deere
&
Co
2.875
09/07/49
375,505‌
825,000
Dover
Corp
3.150
11/15/25
779,841‌
100,000
Dover
Corp
2.950
11/04/29
87,617‌
100,000
Dover
Corp
5.375
03/01/41
97,954‌
200,000
Eaton
Corp
3.103
09/15/27
187,586‌
1,000,000
Eaton
Corp
4.350
05/18/28
980,804‌
150,000
Eaton
Corp
4.000
11/02/32
141,267‌
1,250,000
Eaton
Corp
4.150
03/15/33
1,187,168‌
925,000
Eaton
Corp
4.150
11/02/42
822,879‌
200,000
Eaton
Corp
3.915
09/15/47
169,601‌
1,250,000
Eaton
Corp
4.700
08/23/52
1,197,417‌
200,000
Emerson
Electric
Co
3.150
06/01/25
191,733‌
1,000,000
Emerson
Electric
Co
0.875
10/15/26
881,486‌
Bond
Index
Fund
June
30,
2023
16
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CAPITAL
GOODS—continued
$
500,000
Emerson
Electric
Co
1.800
%
10/15/27
$
443,014‌
500,000
Emerson
Electric
Co
2.000
12/21/28
432,273‌
750,000
Emerson
Electric
Co
1.950
10/15/30
622,268‌
500,000
Emerson
Electric
Co
2.200
12/21/31
413,398‌
200,000
Emerson
Electric
Co
5.250
11/15/39
203,449‌
500,000
Emerson
Electric
Co
2.750
10/15/50
332,325‌
500,000
Emerson
Electric
Co
2.800
12/21/51
340,625‌
500,000
Flowserve
Corp
3.500
10/01/30
426,646‌
1,000,000
Flowserve
Corp
2.800
01/15/32
796,831‌
875,000
Fortive
Corp
3.150
06/15/26
825,092‌
250,000
Fortive
Corp
4.300
06/15/46
198,105‌
200,000
Fortune
Brands
Innovations,
Inc
4.000
06/15/25
193,579‌
500,000
Fortune
Brands
Innovations,
Inc
4.000
03/25/32
443,711‌
1,000,000
Fortune
Brands
Innovations,
Inc
5.875
06/01/33
1,001,302‌
500,000
Fortune
Brands
Innovations,
Inc
4.500
03/25/52
389,298‌
500,000
GATX
Corp
3.250
09/15/26
461,376‌
200,000
GATX
Corp
3.500
03/15/28
181,753‌
200,000
GATX
Corp
4.550
11/07/28
190,551‌
425,000
GATX
Corp
4.700
04/01/29
406,833‌
500,000
GATX
Corp
4.000
06/30/30
456,093‌
1,000,000
GATX
Corp
1.900
06/01/31
766,492‌
500,000
GATX
Corp
4.900
03/15/33
474,030‌
750,000
GATX
Corp
5.450
09/15/33
737,922‌
225,000
GATX
Corp
5.200
03/15/44
201,359‌
3,000,000
General
Dynamics
Corp
1.150
06/01/26
2,710,275‌
900,000
General
Dynamics
Corp
2.250
06/01/31
757,411‌
1,000,000
General
Dynamics
Corp
2.850
06/01/41
756,947‌
225,000
General
Dynamics
Corp
3.600
11/15/42
187,330‌
1,950,000
General
Dynamics
Corp
4.250
04/01/50
1,787,466‌
2,300,000
Honeywell
International,
Inc
1.350
06/01/25
2,145,740‌
1,700,000
Honeywell
International,
Inc
2.500
11/01/26
1,587,204‌
2,000,000
Honeywell
International,
Inc
1.100
03/01/27
1,763,456‌
750,000
Honeywell
International,
Inc
4.950
02/15/28
760,054‌
950,000
Honeywell
International,
Inc
1.950
06/01/30
798,324‌
1,000,000
Honeywell
International,
Inc
5.000
02/15/33
1,019,711‌
2,000,000
Honeywell
International,
Inc
4.500
01/15/34
1,956,075‌
782,000
Honeywell
International,
Inc
3.812
11/21/47
665,569‌
575,000
Honeywell
International,
Inc
2.800
06/01/50
427,101‌
200,000
Hubbell,
Inc
3.350
03/01/26
190,188‌
500,000
Hubbell,
Inc
3.150
08/15/27
461,636‌
200,000
Hubbell,
Inc
3.500
02/15/28
186,541‌
1,000,000
Hubbell,
Inc
2.300
03/15/31
824,288‌
1,000,000
Huntington
Ingalls
Industries,
Inc
0.670
08/16/23
993,904‌
500,000
Huntington
Ingalls
Industries,
Inc
3.844
05/01/25
480,764‌
500,000
Huntington
Ingalls
Industries,
Inc
4.200
05/01/30
463,283‌
500,000
IDEX
Corp
3.000
05/01/30
438,294‌
1,000,000
IDEX
Corp
2.625
06/15/31
836,006‌
1,000,000
Illinois
Tool
Works,
Inc
2.650
11/15/26
936,135‌
200,000
Illinois
Tool
Works,
Inc
4.875
09/15/41
198,026‌
1,000,000
Illinois
Tool
Works,
Inc
3.900
09/01/42
875,787‌
400,000
Ingersoll-Rand
Global
Holding
Co
Ltd
3.750
08/21/28
378,747‌
200,000
Ingersoll-Rand
Global
Holding
Co
Ltd
5.750
06/15/43
208,402‌
450,000
Ingersoll-Rand
Global
Holding
Co
Ltd
4.300
02/21/48
386,927‌
600,000
Ingersoll-Rand
Luxembourg
Finance
S.A.
3.550
11/01/24
581,230‌
100,000
Ingersoll-Rand
Luxembourg
Finance
S.A.
3.500
03/21/26
95,441‌
1,000,000
Ingersoll-Rand
Luxembourg
Finance
S.A.
3.800
03/21/29
942,081‌
300,000
Ingersoll-Rand
Luxembourg
Finance
S.A.
4.500
03/21/49
264,533‌
3,000,000
John
Deere
Capital
Corp
0.450
06/07/24
2,863,534‌
850,000
John
Deere
Capital
Corp
2.650
06/24/24
826,822‌
500,000
John
Deere
Capital
Corp
2.050
01/09/25
476,074‌
125,000
John
Deere
Capital
Corp
3.400
09/11/25
120,258‌
17
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CAPITAL
GOODS—continued
$
1,000,000
John
Deere
Capital
Corp
0.700
%
01/15/26
$
899,586‌
500,000
John
Deere
Capital
Corp
2.250
09/14/26
460,155‌
1,000,000
John
Deere
Capital
Corp
1.300
10/13/26
887,632‌
1,500,000
John
Deere
Capital
Corp
1.700
01/11/27
1,355,593‌
250,000
John
Deere
Capital
Corp
1.750
03/09/27
224,225‌
200,000
John
Deere
Capital
Corp
2.800
09/08/27
185,321‌
1,000,000
John
Deere
Capital
Corp
4.150
09/15/27
975,793‌
200,000
John
Deere
Capital
Corp
3.050
01/06/28
187,533‌
1,000,000
John
Deere
Capital
Corp
4.750
01/20/28
999,167‌
1,000,000
John
Deere
Capital
Corp
4.900
03/03/28
1,005,964‌
2,000,000
John
Deere
Capital
Corp
1.500
03/06/28
1,724,755‌
1,500,000
John
Deere
Capital
Corp
3.350
04/18/29
1,395,129‌
500,000
John
Deere
Capital
Corp
2.800
07/18/29
448,046‌
1,000,000
John
Deere
Capital
Corp
4.850
10/11/29
998,955‌
500,000
John
Deere
Capital
Corp
2.450
01/09/30
439,223‌
1,500,000
John
Deere
Capital
Corp
4.700
06/10/30
1,490,101‌
1,000,000
John
Deere
Capital
Corp
1.450
01/15/31
797,472‌
2,000,000
John
Deere
Capital
Corp
2.000
06/17/31
1,645,025‌
450,000
John
Deere
Capital
Corp
3.900
06/07/32
424,947‌
1,000,000
John
Deere
Capital
Corp
4.350
09/15/32
981,192‌
474,000
Johnson
Controls
International
plc
3.900
02/14/26
455,789‌
1,000,000
Johnson
Controls
International
plc
1.750
09/15/30
806,765‌
1,000,000
Johnson
Controls
International
plc
2.000
09/16/31
799,414‌
500,000
Johnson
Controls
International
plc
4.900
12/01/32
495,267‌
207,000
Johnson
Controls
International
plc
6.000
01/15/36
214,582‌
325,000
Johnson
Controls
International
plc
4.625
07/02/44
289,496‌
35,000
Johnson
Controls
International
plc
5.125
09/14/45
33,346‌
300,000
Johnson
Controls
International
plc
4.500
02/15/47
261,253‌
280,000
Johnson
Controls
International
plc
(Step
Bond)
3.625
07/02/24
274,422‌
72,000
Johnson
Controls
International
plc
(Step
Bond)
4.950
07/02/64
63,936‌
200,000
Kennametal,
Inc
4.625
06/15/28
190,225‌
1,000,000
Kennametal,
Inc
2.800
03/01/31
799,768‌
37,000
KLA-Tencor
Corp
4.650
11/01/24
36,535‌
300,000
KLA-Tencor
Corp
4.100
03/15/29
288,561‌
500,000
KLA-Tencor
Corp
5.000
03/15/49
485,318‌
52,000
L3Harris
Technologies,
Inc
3.950
05/28/24
51,075‌
600,000
L3Harris
Technologies,
Inc
3.850
12/15/26
571,705‌
625,000
L3Harris
Technologies,
Inc
4.400
06/15/28
600,710‌
1,275,000
L3Harris
Technologies,
Inc
4.400
06/15/28
1,225,449‌
175,000
L3Harris
Technologies,
Inc
2.900
12/15/29
151,447‌
1,000,000
L3Harris
Technologies,
Inc
1.800
01/15/31
791,458‌
300,000
L3Harris
Technologies,
Inc
4.854
04/27/35
288,102‌
600,000
L3Harris
Technologies,
Inc
5.054
04/27/45
550,919‌
100,000
Legrand
France
S.A.
8.500
02/15/25
104,680‌
100,000
Lennox
International,
Inc
1.350
08/01/25
91,152‌
100,000
Lennox
International,
Inc
1.700
08/01/27
86,903‌
1,100,000
Lockheed
Martin
Corp
3.550
01/15/26
1,066,826‌
750,000
Lockheed
Martin
Corp
5.100
11/15/27
762,705‌
1,000,000
Lockheed
Martin
Corp
4.450
05/15/28
985,716‌
150,000
Lockheed
Martin
Corp
1.850
06/15/30
124,801‌
625,000
Lockheed
Martin
Corp
3.900
06/15/32
588,612‌
550,000
Lockheed
Martin
Corp
5.250
01/15/33
569,782‌
1,000,000
Lockheed
Martin
Corp
4.750
02/15/34
997,586‌
300,000
Lockheed
Martin
Corp
3.600
03/01/35
268,156‌
500,000
Lockheed
Martin
Corp
4.500
05/15/36
482,577‌
1,833,000
Lockheed
Martin
Corp
4.070
12/15/42
1,631,108‌
275,000
Lockheed
Martin
Corp
3.800
03/01/45
231,711‌
200,000
Lockheed
Martin
Corp
4.700
05/15/46
192,270‌
1,150,000
Lockheed
Martin
Corp
2.800
06/15/50
816,182‌
1,894,000
Lockheed
Martin
Corp
4.090
09/15/52
1,665,547‌
1,000,000
Lockheed
Martin
Corp
4.150
06/15/53
880,354‌
Bond
Index
Fund
June
30,
2023
18
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CAPITAL
GOODS—continued
$
750,000
Lockheed
Martin
Corp
5.700
%
11/15/54
$
832,700‌
1,000,000
Lockheed
Martin
Corp
5.200
02/15/55
1,031,970‌
1,000,000
Lockheed
Martin
Corp
4.300
06/15/62
885,380‌
750,000
Lockheed
Martin
Corp
5.900
11/15/63
853,293‌
200,000
Masco
Corp
3.500
11/15/27
186,881‌
200,000
Masco
Corp
1.500
02/15/28
170,277‌
500,000
Masco
Corp
2.000
10/01/30
394,733‌
550,000
Masco
Corp
2.000
02/15/31
433,855‌
700,000
e
Masco
Corp
4.500
05/15/47
565,362‌
1,000,000
Masco
Corp
3.125
02/15/51
628,356‌
300,000
Northrop
Grumman
Corp
3.200
02/01/27
282,802‌
3,275,000
Northrop
Grumman
Corp
3.250
01/15/28
3,054,197‌
425,000
Northrop
Grumman
Corp
4.400
05/01/30
413,790‌
1,500,000
Northrop
Grumman
Corp
4.700
03/15/33
1,472,118‌
100,000
Northrop
Grumman
Corp
5.050
11/15/40
97,305‌
700,000
Northrop
Grumman
Corp
4.750
06/01/43
655,102‌
300,000
Northrop
Grumman
Corp
3.850
04/15/45
244,474‌
1,450,000
Northrop
Grumman
Corp
4.030
10/15/47
1,245,707‌
1,000,000
Northrop
Grumman
Corp
5.250
05/01/50
1,016,280‌
1,500,000
Northrop
Grumman
Corp
4.950
03/15/53
1,461,298‌
100,000
Oshkosh
Corp
3.100
03/01/30
87,126‌
1,000,000
Otis
Worldwide
Corp
2.056
04/05/25
942,383‌
1,000,000
Otis
Worldwide
Corp
2.293
04/05/27
907,114‌
525,000
Otis
Worldwide
Corp
2.565
02/15/30
452,621‌
500,000
Otis
Worldwide
Corp
3.112
02/15/40
386,095‌
450,000
Otis
Worldwide
Corp
3.362
02/15/50
330,313‌
500,000
PACCAR
Financial
Corp
2.850
04/07/25
478,551‌
200,000
Parker-Hannifin
Corp
2.700
06/14/24
194,247‌
300,000
Parker-Hannifin
Corp
3.300
11/21/24
289,722‌
650,000
Parker-Hannifin
Corp
3.250
03/01/27
609,772‌
1,500,000
Parker-Hannifin
Corp
4.250
09/15/27
1,454,367‌
1,825,000
Parker-Hannifin
Corp
3.250
06/14/29
1,659,859‌
1,500,000
Parker-Hannifin
Corp
4.500
09/15/29
1,457,574‌
200,000
Parker-Hannifin
Corp
4.200
11/21/34
183,126‌
200,000
Parker-Hannifin
Corp
4.450
11/21/44
178,738‌
750,000
Parker-Hannifin
Corp
4.100
03/01/47
637,337‌
225,000
Parker-Hannifin
Corp
4.000
06/14/49
187,284‌
500,000
Pentair
Finance
Sarl
5.900
07/15/32
504,242‌
775,000
Precision
Castparts
Corp
3.250
06/15/25
748,613‌
400,000
Precision
Castparts
Corp
4.200
06/15/35
366,483‌
100,000
Precision
Castparts
Corp
3.900
01/15/43
84,953‌
1,000,000
Quanta
Services,
Inc
2.900
10/01/30
849,534‌
600,000
Quanta
Services,
Inc
2.350
01/15/32
472,091‌
1,000,000
Quanta
Services,
Inc
3.050
10/01/41
693,941‌
300,000
Raytheon
Technologies
Corp
3
.150
12/15/24
289,161‌
1,325,000
Raytheon
Technologies
Corp
3.500
03/15/27
1,259,247‌
200,000
Raytheon
Technologies
Corp
7.200
08/15/27
213,166‌
2,550,000
Raytheon
Technologies
Corp
4.125
11/16/28
2,455,994‌
4,500,000
Raytheon
Technologies
Corp
2.250
07/01/30
3,795,679‌
1,000,000
Raytheon
Technologies
Corp
1.900
09/01/31
798,340‌
1,000,000
Raytheon
Technologies
Corp
2.375
03/15/32
819,330‌
1,050,000
Raytheon
Technologies
Corp
5.150
02/27/33
1,064,352‌
100,000
Raytheon
Technologies
Corp
4.700
12/15/41
92,958‌
2,150,000
Raytheon
Technologies
Corp
4.500
06/01/42
1,979,002‌
125,000
Raytheon
Technologies
Corp
4.800
12/15/43
115,830‌
150,000
Raytheon
Technologies
Corp
4.200
12/15/44
122,328‌
700,000
Raytheon
Technologies
Corp
4.350
04/15/47
620,330‌
2,000,000
Raytheon
Technologies
Corp
3.125
07/01/50
1,448,320‌
1,000,000
Raytheon
Technologies
Corp
2.820
09/01/51
671,603‌
1,000,000
Raytheon
Technologies
Corp
3.030
03/15/52
702,971‌
1,000,000
Raytheon
Technologies
Corp
5.375
02/27/53
1,038,394‌
19
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CAPITAL
GOODS—continued
$
1,500,000
g
Regal
Rexnord
Corp
6.050
%
04/15/28
$
1,489,062‌
1,000,000
g
Regal
Rexnord
Corp
6.300
02/15/30
997,040‌
325,000
g
Regal
Rexnord
Corp
6.400
04/15/33
324,726‌
400,000
Rockwell
Automation,
Inc
3.500
03/01/29
376,919‌
150,000
Rockwell
Automation,
Inc
1.750
08/15/31
120,881‌
400,000
Rockwell
Automation,
Inc
4.200
03/01/49
355,322‌
1,000,000
Rockwell
Automation,
Inc
2.800
08/15/61
652,672‌
200,000
Snap-on,
Inc
3.250
03/01/27
188,205‌
200,000
Snap-on,
Inc
4.100
03/01/48
174,745‌
500,000
Snap-on,
Inc
3.100
05/01/50
369,843‌
500,000
Stanley
Black
&
Decker,
Inc
3.400
03/01/26
473,164‌
1,000,000
Stanley
Black
&
Decker,
Inc
6.000
03/06/28
1,027,975‌
300,000
Stanley
Black
&
Decker,
Inc
4.250
11/15/28
285,898‌
1,000,000
Stanley
Black
&
Decker,
Inc
2.300
03/15/30
824,370‌
1,000,000
e
Stanley
Black
&
Decker,
Inc
3.000
05/15/32
843,079‌
100,000
Stanley
Black
&
Decker,
Inc
5.200
09/01/40
92,318‌
425,000
Stanley
Black
&
Decker,
Inc
4.850
11/15/48
363,239‌
1,500,000
Stanley
Black
&
Decker,
Inc
2.750
11/15/50
891,546‌
450,000
Stanley
Black
&
Decker,
Inc
4.000
03/15/60
343,523‌
150,000
Textron,
Inc
4.000
03/15/26
144,797‌
500,000
Textron,
Inc
3.650
03/15/27
468,354‌
100,000
Textron,
Inc
3.375
03/01/28
91,151‌
750,000
Textron,
Inc
3.900
09/17/29
687,425‌
500,000
Textron,
Inc
3.000
06/01/30
435,833‌
300,000
Textron,
Inc
2.450
03/15/31
247,408‌
250,000
Timken
Co
3.875
09/01/24
243,506‌
200,000
Timken
Co
4.500
12/15/28
190,064‌
1,000,000
e
Timken
Co
4.125
04/01/32
895,778‌
425,000
Trane
Technologies
Financing
Ltd
5.250
03/03/33
430,284‌
625,000
Trimble,
Inc
4.900
06/15/28
609,991‌
1,000,000
Trimble,
Inc
6.100
03/15/33
1,012,772‌
750,000
United
Parcel
Service,
Inc
4.450
04/01/30
747,080‌
725,000
United
Technologies
Corp
3.125
05/04/27
679,058‌
750,000
United
Technologies
Corp
4.450
11/16/38
689,826‌
1,650,000
United
Technologies
Corp
4.150
05/15/45
1,402,611‌
2,325,000
United
Technologies
Corp
4.625
11/16/48
2,169,090‌
200,000
Valmont
Industries,
Inc
5.000
10/01/44
175,370‌
200,000
Valmont
Industries,
Inc
5.250
10/01/54
176,502‌
600,000
Wabtec
Corp
4.400
03/15/24
591,948‌
300,000
Wabtec
Corp
3.450
11/15/26
280,527‌
875,000
Wabtec
Corp
4.950
09/15/28
842,821‌
500,000
Westinghouse
Air
Brake
Technologies
Corp
3.200
06/15/25
474,571‌
750,000
WW
Grainger,
Inc
1.850
02/15/25
712,076‌
800,000
WW
Grainger,
Inc
4.600
06/15/45
753,966‌
200,000
WW
Grainger,
Inc
3.750
05/15/46
161,448‌
125,000
WW
Grainger,
Inc
4.200
05/15/47
109,189‌
775,000
Xylem,
Inc
3.250
11/01/26
728,490‌
225,000
Xylem,
Inc
1.950
01/30/28
197,365‌
150,000
Xylem,
Inc
2.250
01/30/31
124,464‌
100,000
Xylem,
Inc
4.375
11/01/46
84,259‌
TOTAL
CAPITAL
GOODS
248,458,823‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0.2%
700,000
Automatic
Data
Processing,
Inc
3.375
09/15/25
676,796‌
400,000
Automatic
Data
Processing,
Inc
1.700
05/15/28
351,098‌
900,000
Automatic
Data
Processing,
Inc
1.250
09/01/30
729,666‌
750,000
BayCare
Health
System,
Inc
3.831
11/15/50
616,598‌
350,000
Broadridge
Financial
Solutions,
Inc
3.400
06/27/26
329,514‌
1,000,000
Broadridge
Financial
Solutions,
Inc
2.900
12/01/29
852,835‌
1,000,000
Broadridge
Financial
Solutions,
Inc
2.600
05/01/31
819,613‌
2,000,000
CDW
LLC
2.670
12/01/26
1,795,760‌
Bond
Index
Fund
June
30,
2023
20
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
COMMERCIAL
&
PROFESSIONAL
SERVICES—continued
$
925,000
Daimler
Finance
North
America
LLC
8.500
%
01/18/31
$
1,148,770‌
125,000
Equifax,
Inc
2.600
12/15/25
116,287‌
1,000,000
Equifax,
Inc
5.100
12/15/27
988,711‌
1,000,000
Equifax,
Inc
5.100
06/01/28
984,976‌
100,000
Equifax,
Inc
3.100
05/15/30
86,236‌
2,000,000
Equifax,
Inc
2.350
09/15/31
1,594,702‌
865,000
Fred
Hutchinson
Cancer
Center
4.966
01/01/52
828,368‌
1,500,000
Jacobs
Engineering
Group,
Inc
5.900
03/01/33
1,471,622‌
500,000
Leidos,
Inc
3.625
05/15/25
479,556‌
100,000
Leidos,
Inc
4.375
05/15/30
91,814‌
1,000,000
Leidos,
Inc
2.300
02/15/31
787,948‌
1,000,000
Leidos,
Inc
5.750
03/15/33
993,444‌
380,000
MidMichigan
Health
3.409
06/01/50
271,543‌
100,000
Partners
Healthcare
System,
Inc
3.765
07/01/48
81,779‌
750,000
Partners
Healthcare
System,
Inc
3.192
07/01/49
545,055‌
100,000
Partners
Healthcare
System,
Inc
4.117
07/01/55
83,394‌
1,000,000
Partners
Healthcare
System,
Inc
3.342
07/01/60
699,562‌
625,000
RELX
Capital,
Inc
4.000
03/18/29
595,897‌
100,000
RELX
Capital,
Inc
3.000
05/22/30
89,151‌
275,000
RELX
Capital,
Inc
4.750
05/20/32
269,790‌
750,000
Republic
Services,
Inc
3.200
03/15/25
721,563‌
275,000
Republic
Services,
Inc
0.875
11/15/25
247,406‌
900,000
Republic
Services,
Inc
2.900
07/01/26
843,355‌
100,000
Republic
Services,
Inc
3.375
11/15/27
94,052‌
1,000,000
Republic
Services,
Inc
4.875
04/01/29
998,409‌
500,000
Republic
Services,
Inc
2.300
03/01/30
426,629‌
1,000,000
Republic
Services,
Inc
1.450
02/15/31
784,801‌
575,000
Republic
Services,
Inc
1.750
02/15/32
449,764‌
1,000,000
Republic
Services,
Inc
2.375
03/15/33
813,415‌
425,000
Republic
Services,
Inc
5.000
04/01/34
424,045‌
1,000,000
Republic
Services,
Inc
3.050
03/01/50
713,662‌
880,000
Rockefeller
Foundation
2.492
10/01/50
571,714‌
1,200,000
Thomson
Reuters
Corp
3.350
05/15/26
1,141,801‌
145,000
Thomson
Reuters
Corp
5.850
04/15/40
142,980‌
200,000
Thomson
Reuters
Corp
5.650
11/23/43
189,675‌
1,000,000
Triton
Container
International
Ltd
3.250
03/15/32
782,718‌
500,000
Verisk
Analytics,
Inc
4.000
06/15/25
485,228‌
850,000
Verisk
Analytics,
Inc
4.125
03/15/29
811,384‌
750,000
Verisk
Analytics,
Inc
5.750
04/01/33
785,171‌
300,000
Verisk
Analytics,
Inc
5.500
06/15/45
284,855‌
200,000
Verisk
Analytics,
Inc
3.625
05/15/50
147,063‌
750,000
Waste
Connections,
Inc
3.500
05/01/29
689,823‌
500,000
Waste
Connections,
Inc
2.600
02/01/30
432,591‌
700,000
Waste
Connections,
Inc
2.200
01/15/32
564,530‌
100,000
Waste
Connections,
Inc
3.200
06/01/32
87,153‌
425,000
Waste
Connections,
Inc
4.200
01/15/33
399,435‌
500,000
Waste
Connections,
Inc
3.050
04/01/50
345,354‌
575,000
Waste
Connections,
Inc
2.950
01/15/52
393,691‌
500,000
Waste
Management,
Inc
1.150
03/15/28
425,206‌
1,000,000
Waste
Management,
Inc
2.000
06/01/29
855,478‌
1,000,000
Waste
Management,
Inc
4.625
02/15/30
985,222‌
1,000,000
Waste
Management,
Inc
1.500
03/15/31
796,461‌
1,500,000
Waste
Management,
Inc
4.150
04/15/32
1,429,264‌
1,000,000
Waste
Management,
Inc
4.625
02/15/33
979,620‌
1,000,000
Waste
Management,
Inc
2.950
06/01/41
740,829‌
250,000
Waste
Management,
Inc
2.500
11/15/50
159,737‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
39,524,569‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0.7%
100,000
Advance
Auto
Parts,
Inc
1.750
10/01/27
83,211‌
1,000,000
Advance
Auto
Parts,
Inc
5.950
03/09/28
986,736‌
21
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL—continued
$
500,000
e
Advance
Auto
Parts,
Inc
3.900
%
04/15/30
$
426,013‌
1,000,000
e
Advance
Auto
Parts,
Inc
3.500
03/15/32
799,631‌
1,250,000
Alibaba
Group
Holding
Ltd
3.600
11/28/24
1,210,590‌
1,325,000
Alibaba
Group
Holding
Ltd
3.400
12/06/27
1,231,551‌
1,250,000
e
Alibaba
Group
Holding
Ltd
2.125
02/09/31
1,017,752‌
500,000
Alibaba
Group
Holding
Ltd
4.500
11/28/34
461,194‌
750,000
Alibaba
Group
Holding
Ltd
4.000
12/06/37
628,450‌
1,250,000
Alibaba
Group
Holding
Ltd
2.700
02/09/41
834,780‌
1,500,000
Alibaba
Group
Holding
Ltd
4.200
12/06/47
1,178,748‌
1,250,000
Alibaba
Group
Holding
Ltd
3.150
02/09/51
808,860‌
750,000
Alibaba
Group
Holding
Ltd
4.400
12/06/57
587,839‌
1,250,000
Alibaba
Group
Holding
Ltd
3.250
02/09/61
772,729‌
1,125,000
Amazon.com,
Inc
2.800
08/22/24
1,093,832‌
425,000
Amazon.com,
Inc
3.800
12/05/24
416,880‌
1,000,000
Amazon.com,
Inc
0.800
06/03/25
923,667‌
325,000
Amazon.com,
Inc
5.200
12/03/25
326,069‌
5,000,000
Amazon.com,
Inc
1.000
05/12/26
4,495,134‌
3,000,000
Amazon.com,
Inc
3.300
04/13/27
2,856,996‌
1,000,000
Amazon.com,
Inc
1.200
06/03/27
877,395‌
2,000,000
Amazon.com,
Inc
3.150
08/22/27
1,881,718‌
3,000,000
Amazon.com,
Inc
4.550
12/01/27
2,981,160‌
2,000,000
Amazon.com,
Inc
1.650
05/12/28
1,746,255‌
2,000,000
Amazon.com,
Inc
3.450
04/13/29
1,882,983‌
2,000,000
Amazon.com,
Inc
4.650
12/01/29
2,005,056‌
1,000,000
Amazon.com,
Inc
1.500
06/03/30
821,872‌
2,000,000
Amazon.com,
Inc
2.100
05/12/31
1,682,016‌
2,000,000
Amazon.com,
Inc
3.600
04/13/32
1,864,722‌
2,000,000
Amazon.com,
Inc
4.700
12/01/32
2,016,441‌
1,800,000
Amazon.com,
Inc
4.800
12/05/34
1,836,444‌
2,625,000
Amazon.com,
Inc
3.875
08/22/37
2,397,021‌
2,500,000
Amazon.com,
Inc
2.875
05/12/41
1,927,582‌
775,000
Amazon.com,
Inc
4.950
12/05/44
784,225‌
2,875,000
Amazon.com,
Inc
4.050
08/22/47
2,578,759‌
1,900,000
Amazon.com,
Inc
2.500
06/03/50
1,263,484‌
1,500,000
Amazon.com,
Inc
3.100
05/12/51
1,118,791‌
2,000,000
Amazon.com,
Inc
3.950
04/13/52
1,743,166‌
1,900,000
Amazon.com,
Inc
4.250
08/22/57
1,709,018‌
2,500,000
Amazon.com,
Inc
3.250
05/12/61
1,808,693‌
2,000,000
Amazon.com,
Inc
4.100
04/13/62
1,721,912‌
200,000
AutoNation,
Inc
3.500
11/15/24
192,738‌
244,000
AutoNation,
Inc
4.500
10/01/25
234,393‌
200,000
AutoNation,
Inc
3.800
11/15/27
183,112‌
1,500,000
AutoNation,
Inc
1.950
08/01/28
1,221,871‌
100,000
AutoNation,
Inc
4.750
06/01/30
93,501‌
425,000
AutoNation,
Inc
2.400
08/01/31
322,438‌
900,000
AutoNation,
Inc
3.850
03/01/32
763,545‌
250,000
AutoZone,
Inc
3.125
04/18/24
244,901‌
200,000
AutoZone,
Inc
3.250
04/15/25
191,408‌
500,000
AutoZone,
Inc
3.625
04/15/25
482,522‌
100,000
AutoZone,
Inc
3.125
04/21/26
94,518‌
650,000
AutoZone,
Inc
3.750
06/01/27
618,560‌
1,000,000
AutoZone,
Inc
4.500
02/01/28
974,308‌
200,000
AutoZone,
Inc
3.750
04/18/29
184,902‌
500,000
AutoZone,
Inc
4.000
04/15/30
464,277‌
600,000
AutoZone,
Inc
1.650
01/15/31
468,213‌
225,000
AutoZone,
Inc
4.750
08/01/32
217,138‌
1,000,000
AutoZone,
Inc
4.750
02/01/33
957,986‌
500,000
Best
Buy
Co,
Inc
4.450
10/01/28
484,080‌
500,000
Best
Buy
Co,
Inc
1.950
10/01/30
402,762‌
1,325,000
Cintas
Corp
No
2
4.000
05/01/32
1,258,544‌
1,000,000
Dick's
Sporting
Goods,
Inc
3.150
01/15/32
819,380‌
Bond
Index
Fund
June
30,
2023
22
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL—continued
$
1,000,000
Dick's
Sporting
Goods,
Inc
4.100
%
01/15/52
$
694,353‌
400,000
eBay,
Inc
3.450
08/01/24
391,152‌
1,000,000
eBay,
Inc
1.400
05/10/26
902,859‌
1,200,000
eBay,
Inc
3.600
06/05/27
1,134,468‌
500,000
eBay,
Inc
5.950
11/22/27
512,152‌
1,200,000
eBay,
Inc
2.700
03/11/30
1,030,491‌
1,000,000
eBay,
Inc
2.600
05/10/31
833,743‌
500,000
eBay,
Inc
6.300
11/22/32
525,374‌
200,000
eBay,
Inc
4.000
07/15/42
158,839‌
1,000,000
eBay,
Inc
3.650
05/10/51
732,445‌
1,500,000
Genuine
Parts
Co
1.875
11/01/30
1,174,243‌
275,000
Genuine
Parts
Co
2.750
02/01/32
225,654‌
350,000
Home
Depot,
Inc
3.350
09/15/25
337,720‌
1,925,000
Home
Depot,
Inc
3.000
04/01/26
1,841,226‌
1,550,000
Home
Depot,
Inc
2.125
09/15/26
1,429,483‌
1,000,000
Home
Depot,
Inc
2.875
04/15/27
939,718‌
2,000,000
Home
Depot,
Inc
0.900
03/15/28
1,685,168‌
1,000,000
Home
Depot,
Inc
1.500
09/15/28
855,875‌
825,000
Home
Depot,
Inc
3.900
12/06/28
798,647‌
2,333,000
Home
Depot,
Inc
2.950
06/15/29
2,123,595‌
375,000
Home
Depot,
Inc
2.700
04/15/30
333,166‌
2,000,000
Home
Depot,
Inc
1.375
03/15/31
1,579,547‌
1,000,000
Home
Depot,
Inc
1.875
09/15/31
813,412‌
1,000,000
Home
Depot,
Inc
3.250
04/15/32
898,343‌
1,000,000
e
Home
Depot,
Inc
4.500
09/15/32
988,432‌
425,000
Home
Depot,
Inc
5.875
12/16/36
462,688‌
150,000
Home
Depot,
Inc
5.950
04/01/41
165,156‌
675,000
Home
Depot,
Inc
4.200
04/01/43
603,174‌
450,000
Home
Depot,
Inc
4.875
02/15/44
438,006‌
650,000
Home
Depot,
Inc
4.400
03/15/45
592,145‌
725,000
Home
Depot,
Inc
4.250
04/01/46
642,679‌
2,100,000
Home
Depot,
Inc
3.900
06/15/47
1,784,666‌
2,000,000
Home
Depot,
Inc
4.500
12/06/48
1,853,160‌
1,000,000
Home
Depot,
Inc
3.125
12/15/49
731,631‌
2,655,000
Home
Depot,
Inc
3
.350
04/15/50
2,026,123‌
3,000,000
Home
Depot,
Inc
2.375
03/15/51
1,858,676‌
1,000,000
Home
Depot,
Inc
2.750
09/15/51
673,191‌
500,000
Home
Depot,
Inc
3.625
04/15/52
398,667‌
1,000,000
e
Home
Depot,
Inc
4.950
09/15/52
993,217‌
675,000
Home
Depot,
Inc
3.500
09/15/56
519,212‌
500,000
JD.com,
Inc
3.375
01/14/30
448,507‌
500,000
JD.com,
Inc
4.125
01/14/50
388,989‌
750,000
g
LKQ
Corp
5.750
06/15/28
747,560‌
750,000
g
LKQ
Corp
6.250
06/15/33
755,654‌
400,000
Lowe's
Cos,
Inc
3.125
09/15/24
387,785‌
1,000,000
Lowe's
Cos,
Inc
4.000
04/15/25
973,502‌
1,000,000
Lowe's
Cos,
Inc
4.400
09/08/25
980,032‌
1,100,000
Lowe's
Cos,
Inc
3.375
09/15/25
1,053,643‌
500,000
Lowe's
Cos,
Inc
2.500
04/15/26
467,622‌
1,000,000
Lowe's
Cos,
Inc
3.350
04/01/27
944,399‌
2,000,000
Lowe's
Cos,
Inc
1.300
04/15/28
1,689,073‌
1,500,000
Lowe's
Cos,
Inc
1.700
09/15/28
1,271,396‌
775,000
Lowe's
Cos,
Inc
3.650
04/05/29
718,119‌
306,000
Lowe's
Cos,
Inc
4.500
04/15/30
297,473‌
1,500,000
Lowe's
Cos,
Inc
1.700
10/15/30
1,201,949‌
800,000
Lowe's
Cos,
Inc
2.625
04/01/31
675,508‌
1,000,000
Lowe's
Cos,
Inc
3.750
04/01/32
905,075‌
1,000,000
e
Lowe's
Cos,
Inc
5.000
04/15/33
989,166‌
650,000
Lowe's
Cos,
Inc
5.150
07/01/33
649,765‌
700,000
Lowe's
Cos,
Inc
2.800
09/15/41
495,073‌
56,000
Lowe's
Cos,
Inc
4.250
09/15/44
44,274‌
23
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL—continued
$
1,075,000
Lowe's
Cos,
Inc
3.700
%
04/15/46
$
818,248‌
2,000,000
Lowe's
Cos,
Inc
4.050
05/03/47
1,608,503‌
1,425,000
Lowe's
Cos,
Inc
4.550
04/05/49
1,215,792‌
1,320,000
Lowe's
Cos,
Inc
5.125
04/15/50
1,238,487‌
450,000
Lowe's
Cos,
Inc
3.000
10/15/50
294,943‌
1,000,000
Lowe's
Cos,
Inc
3.500
04/01/51
710,295‌
500,000
Lowe's
Cos,
Inc
4.250
04/01/52
407,940‌
1,000,000
e
Lowe's
Cos,
Inc
5.625
04/15/53
999,401‌
275,000
Lowe's
Cos,
Inc
5.750
07/01/53
280,213‌
500,000
Lowe's
Cos,
Inc
4.450
04/01/62
401,453‌
1,000,000
Lowe's
Cos,
Inc
5.800
09/15/62
988,986‌
600,000
Lowe's
Cos,
Inc
5.850
04/01/63
598,132‌
1,000,000
O'Reilly
Automotive,
Inc
3.600
09/01/27
946,253‌
300,000
O'Reilly
Automotive,
Inc
4.350
06/01/28
290,441‌
500,000
O'Reilly
Automotive,
Inc
3.900
06/01/29
469,148‌
200,000
O'Reilly
Automotive,
Inc
1.750
03/15/31
157,382‌
2,000,000
O'Reilly
Automotive,
Inc
4.700
06/15/32
1,926,359‌
300,000
Ross
Stores,
Inc
4.600
04/15/25
294,130‌
500,000
Ross
Stores,
Inc
0.875
04/15/26
441,669‌
55,000
Ross
Stores,
Inc
4.700
04/15/27
53,741‌
500,000
Ross
Stores,
Inc
1.875
04/15/31
394,523‌
525,000
TJX
Cos,
Inc
2.250
09/15/26
484,343‌
1,750,000
TJX
Cos,
Inc
1.150
05/15/28
1,490,728‌
500,000
TJX
Cos,
Inc
1.600
05/15/31
405,194‌
650,000
Tractor
Supply
Co
1.750
11/01/30
514,768‌
1,000,000
Tractor
Supply
Co
5.250
05/15/33
992,250‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
139,854,854‌
CONSUMER
DURABLES
&
APPAREL
-
0.1%
500,000
Brunswick
Corp
0.850
08/18/24
470,122‌
1,000,000
Brunswick
Corp
2.400
08/18/31
766,599‌
500,000
Brunswick
Corp
4.400
09/15/32
436,394‌
161,000
Coach,
Inc
4.125
07/15/27
151,136‌
750,000
DR
Horton,
Inc
2.500
10/15/24
717,132‌
500,000
DR
Horton,
Inc
2.600
10/15/25
467,748‌
1,000,000
DR
Horton,
Inc
1.300
10/15/26
876,324‌
750,000
Hasbro,
Inc
3.550
11/19/26
696,787‌
775,000
Hasbro,
Inc
3.500
09/15/27
720,726‌
1,000,000
Hasbro,
Inc
3.900
11/19/29
903,640‌
100,000
Hasbro,
Inc
6.350
03/15/40
101,549‌
200,000
Hasbro,
Inc
5.100
05/15/44
175,945‌
475,000
Leggett
&
Platt,
Inc
3.500
11/15/27
437,561‌
350,000
Leggett
&
Platt,
Inc
4.400
03/15/29
333,202‌
1,000,000
Leggett
&
Platt,
Inc
3.500
11/15/51
720,292‌
1,900,000
Lennar
Corp
4.750
11/29/27
1,843,481‌
500,000
MDC
Holdings,
Inc
3.966
08/06/61
298,348‌
750,000
e
Mohawk
Industries,
Inc
3.625
05/15/30
676,955‌
650,000
NIKE,
Inc
2.375
11/01/26
603,796‌
300,000
NIKE,
Inc
3.625
05/01/43
251,744‌
825,000
NIKE,
Inc
3.875
11/01/45
720,979‌
200,000
NIKE,
Inc
3.375
11/01/46
160,406‌
2,440,000
e
NIKE,
Inc
3.375
03/27/50
1,976,581‌
1,000,000
NVR,
Inc
3.000
05/15/30
866,139‌
200,000
Ralph
Lauren
Corp
3.750
09/15/25
192,913‌
1,000,000
Ralph
Lauren
Corp
2.950
06/15/30
881,655‌
450,000
Tapestry,
Inc
3.050
03/15/32
359,349‌
400,000
VF
Corp
2.400
04/23/25
374,895‌
1,000,000
VF
Corp
2.800
04/23/27
901,760‌
200,000
e
VF
Corp
2.950
04/23/30
164,299‌
100,000
Whirlpool
Corp
4.000
03/01/24
98,926‌
925,000
e
Whirlpool
Corp
4.750
02/26/29
900,214‌
Bond
Index
Fund
June
30,
2023
24
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
DURABLES
&
APPAREL—continued
$
500,000
Whirlpool
Corp
2.400
%
05/15/31
$
405,582‌
475,000
e
Whirlpool
Corp
4.700
05/14/32
455,710‌
750,000
Whirlpool
Corp
5.500
03/01/33
748,411‌
200,000
Whirlpool
Corp
4.500
06/01/46
161,144‌
775,000
e
Whirlpool
Corp
4.600
05/15/50
642,940‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
21,661,384‌
CONSUMER
SERVICES
-
0.4%
200,000
Block
Financial
LLC
5.250
10/01/25
195,602‌
1,000,000
Block
Financial
LLC
2.500
07/15/28
851,519‌
750,000
Block
Financial
LLC
3.875
08/15/30
661,422‌
300,000
Board
of
Trustees
of
The
Leland
Stanford
Junior
University
3.647
05/01/48
257,444‌
300,000
Booking
Holdings,
Inc
3.650
03/15/25
291,267‌
300,000
Booking
Holdings,
Inc
3.600
06/01/26
288,931‌
900,000
Booking
Holdings,
Inc
3.550
03/15/28
845,529‌
1,100,000
Booking
Holdings,
Inc
4.625
04/13/30
1,071,798‌
1,000,000
California
Endowment
2.498
04/01/51
641,439‌
1,000,000
Case
Western
Reserve
University
5.405
06/01/22
967,787‌
500,000
Choice
Hotels
International,
Inc
3.700
12/01/29
431,326‌
675,000
Cintas
Corp
No
2
3.700
04/01/27
650,454‌
1,000,000
Claremont
McKenna
College
3.775
01/01/22
692,667‌
750,000
CommonSpirit
Health
2.760
10/01/24
721,973‌
750,000
CommonSpirit
Health
6.073
11/01/27
764,099‌
1,000,000
CommonSpirit
Health
3.347
10/01/29
879,750‌
1,000,000
CommonSpirit
Health
2
.782
10/01/30
840,671‌
300,000
CommonSpirit
Health
4.350
11/01/42
257,584‌
750,000
CommonSpirit
Health
3.817
10/01/49
570,950‌
715,000
CommonSpirit
Health
4.187
10/01/49
579,927‌
500,000
CommonSpirit
Health
3
.910
10/01/50
386,312‌
750,000
e
CommonSpirit
Health
6.461
11/01/52
855,444‌
200,000
e
Darden
Restaurants,
Inc
3.850
05/01/27
190,656‌
300,000
Darden
Restaurants,
Inc
4.550
02/15/48
251,943‌
500,000
Emory
University
2.143
09/01/30
419,856‌
500,000
Emory
University
2.969
09/01/50
359,342‌
1,200,000
Expedia
Group,
Inc
5.000
02/15/26
1,183,029‌
750,000
Expedia
Group,
Inc
4.625
08/01/27
726,786‌
175,000
Expedia
Group,
Inc
3.800
02/15/28
163,637‌
750,000
Expedia
Group,
Inc
3.250
02/15/30
652,763‌
270,000
Expedia
Group,
Inc
2.950
03/15/31
227,517‌
2,000,000
Howard
University
5.209
10/01/52
1,701,097‌
1,000,000
Hyatt
Hotels
Corp
1.800
10/01/24
951,788‌
100,000
Hyatt
Hotels
Corp
5.375
04/23/25
98,939‌
100,000
Hyatt
Hotels
Corp
4.850
03/15/26
97,932‌
275,000
h
Hyatt
Hotels
Corp
5.750
01/30/27
274,294‌
200,000
Hyatt
Hotels
Corp
4.375
09/15/28
188,926‌
1,100,000
Hyatt
Hotels
Corp
5.750
04/23/30
1,100,545‌
500,000
Johns
Hopkins
University
4.705
07/01/32
498,712‌
750,000
Johns
Hopkins
University
2.813
01/01/60
492,841‌
500,000
e
Leland
Stanford
Junior
University
1.289
06/01/27
440,246‌
1,000,000
Leland
Stanford
Junior
University
2.413
06/01/50
662,675‌
300,000
Marriott
International,
Inc
3.600
04/15/24
294,956‌
14,000
Marriott
International,
Inc
5.750
05/01/25
14,026‌
500,000
Marriott
International,
Inc
5.000
10/15/27
496,071‌
1,250,000
Marriott
International,
Inc
4.000
04/15/28
1,178,834‌
300,000
Marriott
International,
Inc
4.650
12/01/28
290,270‌
500,000
Marriott
International,
Inc
4.900
04/15/29
486,471‌
400,000
Marriott
International,
Inc
4.625
06/15/30
382,992‌
1,000,000
Marriott
International,
Inc
2.850
04/15/31
840,799‌
1,500,000
Marriott
International,
Inc
3.500
10/15/32
1,295,547‌
2,000,000
Marriott
International,
Inc
2.750
10/15/33
1,589,490‌
1,500,000
Massachusetts
Institute
of
Technology
2.989
07/01/50
1,121,641‌
25
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
SERVICES—continued
$
1,000,000
e
Massachusetts
Institute
of
Technology
2.294
%
07/01/51
$
637,140‌
750,000
Massachusetts
Institute
of
Technology
5.600
07/01/11
847,090‌
200,000
Massachusetts
Institute
of
Technology
4.678
07/01/14
186,507‌
300,000
Massachusetts
Institute
of
Technology
3.885
07/01/16
230,688‌
2,000,000
McDonald's
Corp
3.300
07/01/25
1,928,010‌
150,000
McDonald's
Corp
1.450
09/01/25
138,496‌
2,950,000
McDonald's
Corp
3.700
01/30/26
2,851,508‌
300,000
McDonald's
Corp
3.500
03/01/27
286,200‌
775,000
McDonald's
Corp
3.800
04/01/28
742,619‌
1,250,000
McDonald's
Corp
2.625
09/01/29
1,108,623‌
500,000
McDonald's
Corp
2.125
03/01/30
425,322‌
200,000
McDonald's
Corp
4.600
09/09/32
198,099‌
2,225,000
McDonald's
Corp
4.700
12/09/35
2,159,455‌
250,000
McDonald's
Corp
6.300
10/15/37
274,891‌
100,000
McDonald's
Corp
6.300
03/01/38
110,157‌
250,000
McDonald's
Corp
4.600
05/26/45
227,845‌
1,275,000
McDonald's
Corp
4.875
12/09/45
1,219,311‌
725,000
McDonald's
Corp
4.450
03/01/47
651,937‌
625,000
McDonald's
Corp
4.450
09/01/48
561,278‌
1,825,000
McDonald's
Corp
3.625
09/01/49
1,439,234‌
1,350,000
McDonald's
Corp
4.200
04/01/50
1,167,692‌
500,000
McDonald's
Corp
5.150
09/09/52
497,971‌
735,000
Nature
Conservancy
3.957
03/01/52
624,430‌
750,000
Northeastern
University
2.894
10/01/50
516,511‌
200,000
Northwestern
University
3.868
12/01/48
172,944‌
750,000
Northwestern
University
2.640
12/01/50
520,095‌
200,000
Northwestern
University
3.662
12/01/57
161,946‌
1,000,000
Novant
Health,
Inc
2.637
11/01/36
754,384‌
1,000,000
e
Novant
Health,
Inc
3.318
11/01/61
689,963‌
1,000,000
President
&
Fellows
of
Harvard
College
2.517
10/15/50
668,625‌
750,000
President
and
Fellows
of
Harvard
College
3.619
10/01/37
655,115‌
200,000
President
and
Fellows
of
Harvard
College
3.150
07/15/46
153,935‌
1,000,000
President
and
Fellows
of
Harvard
College
3.745
11/15/52
851,526‌
200,000
President
and
Fellows
of
Harvard
College
3.300
07/15/56
152,791‌
175,000
Starbucks
Corp
2.450
06/15/26
163,053‌
500,000
Starbucks
Corp
2.000
03/12/27
449,019‌
750,000
Starbucks
Corp
3.500
03/01/28
703,694‌
650,000
Starbucks
Corp
4.000
11/15/28
623,467‌
750,000
Starbucks
Corp
3.550
08/15/29
699,150‌
500,000
Starbucks
Corp
2.250
03/12/30
423,663‌
1,500,000
Starbucks
Corp
2.550
11/15/30
1,277,502‌
2,000,000
e
Starbucks
Corp
3.000
02/14/32
1,736,110‌
1,000,000
Starbucks
Corp
4.800
02/15/33
987,578‌
200,000
Starbucks
Corp
4.300
06/15/45
173,766‌
200,000
Starbucks
Corp
3.750
12/01/47
157,705‌
650,000
Starbucks
Corp
4.500
11/15/48
580,359‌
1,000,000
Starbucks
Corp
4.450
08/15/49
883,005‌
500,000
Starbucks
Corp
3.350
03/12/50
366,495‌
1,000,000
Starbucks
Corp
3.500
11/15/50
759,075‌
1,000,000
Thomas
Jefferson
University
3.847
11/01/57
729,655‌
200,000
Trinity
Acquisition
plc
4.400
03/15/26
192,680‌
500,000
Trustees
of
Boston
College
3.129
07/01/52
370,107‌
100,000
Trustees
of
Boston
University
4.061
10/01/48
87,528‌
1,000,000
Trustees
of
Princeton
University
2.516
07/01/50
686,455‌
665,000
Trustees
of
Princeton
University
4.201
03/01/52
618,537‌
1,000,000
University
of
Chicago
3.000
10/01/52
725,261‌
1,000,000
University
of
Miami
4.063
04/01/52
848,852‌
1,000,000
University
of
Southern
California
2.945
10/01/51
711,634‌
1,000,000
University
of
Southern
California
3.226
10/01/20
618,915‌
1,000,000
Washington
University
3.524
04/15/54
810,622‌
500,000
Washington
University
4.349
04/15/22
416,164‌
Bond
Index
Fund
June
30,
2023
26
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
SERVICES—continued
$
200,000
Wesleyan
University
4.781
%
07/01/16
$
168,932‌
500,000
Yale
University
0.873
04/15/25
463,215‌
750,000
Yale
University
1.482
04/15/30
620,444‌
750,000
Yale
University
2.402
04/15/50
495,463‌
TOTAL
CONSUMER
SERVICES
74,738,959‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0.3%
400,000
Costco
Wholesale
Corp
2.750
05/18/24
390,751‌
625,000
Costco
Wholesale
Corp
3.000
05/18/27
593,414‌
475,000
Costco
Wholesale
Corp
1.375
06/20/27
419,373‌
725,000
Costco
Wholesale
Corp
1.600
04/20/30
603,573‌
1,800,000
e
Costco
Wholesale
Corp
1.750
04/20/32
1,452,819‌
69,000
Delhaize
Group
S.A.
5.700
10/01/40
69,743‌
355,000
Dollar
General
Corp
4.150
11/01/25
344,663‌
300,000
Dollar
General
Corp
3.875
04/15/27
286,255‌
1,000,000
Dollar
General
Corp
4.625
11/01/27
977,758‌
500,000
Dollar
General
Corp
4.125
05/01/28
475,169‌
1,000,000
Dollar
General
Corp
5.200
07/05/28
989,567‌
500,000
Dollar
General
Corp
3.500
04/03/30
448,366‌
500,000
Dollar
General
Corp
5.000
11/01/32
485,397‌
1,000,000
Dollar
General
Corp
5.450
07/05/33
992,568‌
500,000
Dollar
General
Corp
4.125
04/03/50
393,041‌
500,000
Dollar
General
Corp
5.500
11/01/52
477,995‌
500,000
Dollar
Tree,
Inc
4.000
05/15/25
484,020‌
500,000
Dollar
Tree,
Inc
4.200
05/15/28
473,723‌
1,000,000
Dollar
Tree,
Inc
2.650
12/01/31
817,822‌
1,000,000
Dollar
Tree,
Inc
3.375
12/01/51
673,825‌
100,000
Kroger
Co
3.500
02/01/26
95,757‌
1,275,000
Kroger
Co
2.650
10/15/26
1,181,523‌
175,000
Kroger
Co
3.700
08/01/27
166,744‌
1,150,000
Kroger
Co
4.500
01/15/29
1,123,298‌
250,000
Kroger
Co
2.200
05/01/30
206,728‌
1,500,000
Kroger
Co
1.700
01/15/31
1,176,437‌
100,000
Kroger
Co
6.900
04/15/38
110,618‌
250,000
Kroger
Co
5.000
04/15/42
228,206‌
300,000
Kroger
Co
5.150
08/01/43
275,517‌
300,000
Kroger
Co
3.875
10/15/46
230,424‌
900,000
Kroger
Co
4.450
02/01/47
781,338‌
700,000
Kroger
Co
4.650
01/15/48
617,919‌
300,000
Kroger
Co
5.400
01/15/49
295,437‌
500,000
Kroger
Co
3.950
01/15/50
401,057‌
125,000
SYSCO
Corp
3.750
10/01/25
120,867‌
350,000
SYSCO
Corp
3.300
07/15/26
330,581‌
1,000,000
SYSCO
Corp
2.400
02/15/30
851,720‌
332,000
SYSCO
Corp
5.950
04/01/30
347,546‌
400,000
SYSCO
Corp
2.450
12/14/31
327,030‌
300,000
SYSCO
Corp
4
.850
10/01/45
265,791‌
500,000
SYSCO
Corp
4.500
04/01/46
423,911‌
250,000
SYSCO
Corp
4.450
03/15/48
213,847‌
550,000
SYSCO
Corp
3.300
02/15/50
390,761‌
905,000
SYSCO
Corp
6.600
04/01/50
1,031,568‌
675,000
SYSCO
Corp
3.150
12/14/51
467,636‌
350,000
Target
Corp
3.500
07/01/24
343,644‌
200,000
Target
Corp
2.250
04/15/25
190,470‌
1,700,000
Target
Corp
2.500
04/15/26
1,609,189‌
1,000,000
Target
Corp
1
.950
01/15/27
915,424‌
600,000
Target
Corp
2.350
02/15/30
519,600‌
5,000,000
Target
Corp
2.650
09/15/30
4,356,188‌
500,000
Target
Corp
4.500
09/15/32
487,909‌
1,000,000
e
Target
Corp
4.400
01/15/33
972,212‌
1,000,000
Target
Corp
2.950
01/15/52
700,747‌
27
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL—continued
$
1,500,000
Target
Corp
4.800
%
01/15/53
$
1,435,854‌
622,000
Walgreens
Boots
Alliance,
Inc
3.450
06/01/26
583,398‌
750,000
e
Walgreens
Boots
Alliance,
Inc
3.200
04/15/30
637,780‌
1,400,000
Walgreens
Boots
Alliance,
Inc
4.500
11/18/34
1,241,518‌
525,000
Walgreens
Boots
Alliance,
Inc
4.650
06/01/46
424,192‌
750,000
e
Walgreens
Boots
Alliance,
Inc
4.100
04/15/50
534,147‌
5,000,000
Walmart,
Inc
1.050
09/17/26
4,464,140‌
3,000,000
Walmart,
Inc
3.950
09/09/27
2,942,645‌
3,000,000
Walmart,
Inc
3.900
04/15/28
2,927,880‌
1,000,000
Walmart,
Inc
1.500
09/22/28
868,343‌
21,000
Walmart,
Inc
2.375
09/24/29
18,563‌
2,000,000
Walmart,
Inc
4.000
04/15/30
1,944,614‌
1,750,000
Walmart,
Inc
1.800
09/22/31
1,453,005‌
5,000,000
e
Walmart,
Inc
4.150
09/09/32
4,931,728‌
900,000
Walmart,
Inc
4
.100
04/15/33
873,864‌
825,000
Walmart,
Inc
2.500
09/22/41
613,975‌
1,500,000
Walmart,
Inc
2.650
09/22/51
1,065,443‌
4,000,000
Walmart,
Inc
4.500
09/09/52
3,909,554‌
850,000
Walmart,
Inc
4.500
04/15/53
828,982‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
65,307,111‌
ENERGY
-
1.7%
875,000
Baker
Hughes
a
GE
Co
LLC
3.337
12/15/27
810,640‌
1,000,000
Baker
Hughes
a
GE
Co
LLC
3.138
11/07/29
889,754‌
500,000
Baker
Hughes
a
GE
Co
LLC
4.486
05/01/30
482,371‌
800,000
Baker
Hughes
a
GE
Co
LLC
5.125
09/15/40
775,960‌
875,000
Baker
Hughes
a
GE
Co
LLC
4.080
12/15/47
706,386‌
1,000,000
Baker
Hughes
Holdings
LLC
2.061
12/15/26
900,837‌
475,000
Boardwalk
Pipelines
LP
5.950
06/01/26
478,631‌
450,000
Boardwalk
Pipelines
LP
4.450
07/15/27
429,327‌
500,000
Boardwalk
Pipelines
LP
4.800
05/03/29
479,405‌
1,000,000
Boardwalk
Pipelines
LP
3.400
02/15/31
858,983‌
1,000,000
Boardwalk
Pipelines
LP
3.600
09/01/32
848,966‌
700,000
BP
Capital
Markets
America,
Inc
3.796
09/21/25
682,333‌
1,800,000
BP
Capital
Markets
America,
Inc
3.410
02/11/26
1,729,546‌
150,000
BP
Capital
Markets
America,
Inc
3.119
05/04/26
142,779‌
200,000
BP
Capital
Markets
America,
Inc
3.017
01/16/27
188,174‌
500,000
BP
Capital
Markets
America,
Inc
3.588
04/14/27
478,151‌
750,000
BP
Capital
Markets
America,
Inc
3.937
09/21/28
717,525‌
1,300,000
BP
Capital
Markets
America,
Inc
4.234
11/06/28
1,260,262‌
1,000,000
BP
Capital
Markets
America,
Inc
3.633
04/06/30
929,331‌
1,000,000
BP
Capital
Markets
America,
Inc
1.749
08/10/30
818,853‌
2,000,000
BP
Capital
Markets
America,
Inc
2.721
01/12/32
1,698,110‌
2,350,000
BP
Capital
Markets
America,
Inc
4.812
02/13/33
2,315,846‌
850,000
BP
Capital
Markets
America,
Inc
4.893
09/11/33
841,223‌
1,000,000
BP
Capital
Markets
America,
Inc
3.060
06/17/41
757,232‌
2,000,000
BP
Capital
Markets
America,
Inc
3.000
02/24/50
1,393,802‌
950,000
BP
Capital
Markets
America,
Inc
2.772
11/10/50
628,359‌
2,500,000
BP
Capital
Markets
America,
Inc
2.939
06/04/51
1,706,029‌
1,000,000
BP
Capital
Markets
America,
Inc
3.001
03/17/52
689,620‌
2,500,000
BP
Capital
Markets
America,
Inc
3.379
02/08/61
1,779,294‌
925,000
BP
Capital
Markets
plc
3.279
09/19/27
870,930‌
300,000
BP
Capital
Markets
plc
3.723
11/28/28
283,555‌
700,000
Canadian
Natural
Resources
Ltd
3.900
02/01/25
676,664‌
750,000
Canadian
Natural
Resources
Ltd
2.050
07/15/25
698,631‌
1,125,000
Canadian
Natural
Resources
Ltd
3.850
06/01/27
1,062,530‌
750,000
Canadian
Natural
Resources
Ltd
2.950
07/15/30
643,977‌
1,625,000
Canadian
Natural
Resources
Ltd
6.250
03/15/38
1,654,121‌
800,000
Canadian
Natural
Resources
Ltd
4.950
06/01/47
713,405‌
1,200,000
Cenovus
Energy,
Inc
2.650
01/15/32
968,659‌
1,425,000
Cenovus
Energy,
Inc
3
.750
02/15/52
1,008,471‌
Bond
Index
Fund
June
30,
2023
28
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
1,000,000
Cheniere
Energy
Partners
LP
4.500
%
10/01/29
$
917,756‌
1,000,000
Cheniere
Energy
Partners
LP
4.000
03/01/31
880,489‌
1,000,000
Cheniere
Energy
Partners
LP
3.250
01/31/32
822,650‌
350,000
g
Cheniere
Energy
Partners
LP
5.950
06/30/33
351,018‌
400,000
Chevron
Corp
3.326
11/17/25
386,278‌
2,475,000
Chevron
Corp
2.954
05/16/26
2,355,776‌
2,225,000
Chevron
Corp
1.995
05/11/27
2,020,393‌
600,000
Chevron
Corp
2.236
05/11/30
522,136‌
1,000,000
Chevron
Corp
3.078
05/11/50
744,345‌
2,000,000
Chevron
USA,
Inc
0.687
08/12/25
1,826,875‌
2,000,000
Chevron
USA,
Inc
1.018
08/12/27
1,738,951‌
1,000,000
Chevron
USA,
Inc
3.250
10/15/29
925,484‌
250,000
Chevron
USA,
Inc
2.343
08/12/50
159,728‌
775,000
Columbia
Pipeline
Group,
Inc
4.500
06/01/25
756,255‌
300,000
Columbia
Pipeline
Group,
Inc
5.800
06/01/45
295,937‌
750,000
ConocoPhillips
5.900
10/15/32
806,685‌
77,000
ConocoPhillips
Co
4.150
11/15/34
70,164‌
1,700,000
ConocoPhillips
Co
3.758
03/15/42
1,431,042‌
300,000
ConocoPhillips
Co
4.300
11/15/44
264,883‌
850,000
ConocoPhillips
Co
3.800
03/15/52
688,072‌
400,000
ConocoPhillips
Co
5.300
05/15/53
406,864‌
3,612,000
ConocoPhillips
Co
4.025
03/15/62
2,938,653‌
750,000
ConocoPhillips
Holding
Co
6.950
04/15/29
825,013‌
1,500,000
Continental
Resources,
Inc
4.375
01/15/28
1,408,635‌
525,000
Coterra
Energy,
Inc
3.900
05/15/27
494,846‌
300,000
Coterra
Energy,
Inc
4.375
03/15/29
279,912‌
1,000,000
DCP
Midstream
Operating
LP
5.375
07/15/25
989,999‌
1,000,000
DCP
Midstream
Operating
LP
5.625
07/15/27
998,421‌
1,000,000
DCP
Midstream
Operating
LP
5.125
05/15/29
978,243‌
2,000,000
Devon
Energy
Corp
4.500
01/15/30
1,882,646‌
885,000
Devon
Energy
Corp
5.600
07/15/41
832,939‌
700,000
Devon
Energy
Corp
4.750
05/15/42
590,038‌
1,100,000
Devon
Energy
Corp
5.000
06/15/45
953,728‌
425,000
Diamondback
Energy,
Inc
3.250
12/01/26
399,308‌
1,000,000
Diamondback
Energy,
Inc
3.500
12/01/29
900,122‌
650,000
Diamondback
Energy,
Inc
3.125
03/24/31
556,776‌
1,000,000
Diamondback
Energy,
Inc
6.250
03/15/33
1,034,468‌
1,000,000
Diamondback
Energy,
Inc
4.400
03/24/51
791,075‌
450,000
Diamondback
Energy,
Inc
4.250
03/15/52
345,148‌
1,000,000
Diamondback
Energy,
Inc
6.250
03/15/53
1,011,562‌
750,000
Eastern
Gas
Transmission
&
Storage,
Inc
3.000
11/15/29
652,530‌
200,000
Eastern
Gas
Transmission
&
Storage,
Inc
4.800
11/01/43
173,849‌
200,000
Eastern
Gas
Transmission
&
Storage,
Inc
4.600
12/15/44
168,342‌
300,000
El
Paso
Corp
7.750
01/15/32
338,709‌
300,000
Enable
Midstream
Partners
LP
3.900
05/15/24
294,922‌
200,000
Enable
Midstream
Partners
LP
4.400
03/15/27
191,226‌
1,250,000
Enable
Midstream
Partners
LP
4.950
05/15/28
1,209,382‌
500,000
Enable
Midstream
Partners
LP
4.150
09/15/29
460,169‌
100,000
Enable
Midstream
Partners
LP
5.000
05/15/44
84,109‌
1,200,000
Enbridge
Energy
Partners
LP
5.875
10/15/25
1,203,022‌
300,000
Enbridge
Energy
Partners
LP
5.500
09/15/40
283,143‌
200,000
Enbridge
Energy
Partners
LP
7.375
10/15/45
230,226‌
300,000
Enbridge,
Inc
4.000
10/01/23
298,805‌
250,000
Enbridge,
Inc
2.500
01/15/25
237,750‌
950,000
Enbridge,
Inc
2.500
02/14/25
902,286‌
1,500,000
Enbridge,
Inc
1.600
10/04/26
1,335,366‌
100,000
Enbridge,
Inc
4.250
12/01/26
96,443‌
100,000
Enbridge,
Inc
3.700
07/15/27
94,400‌
500,000
Enbridge,
Inc
3.125
11/15/29
441,478‌
500,000
Enbridge,
Inc
5.700
03/08/33
506,866‌
1,500,000
Enbridge,
Inc
2.500
08/01/33
1,171,430‌
29
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
300,000
Enbridge,
Inc
4.500
%
06/10/44
$
249,721‌
925,000
Enbridge,
Inc
5.500
12/01/46
883,652‌
1,000,000
Enbridge,
Inc
4.000
11/15/49
771,020‌
2,000,000
Enbridge,
Inc
3
.400
08/01/51
1,394,495‌
1,000,000
EnCana
Corp
6.500
08/15/34
1,002,153‌
1,000,000
Energy
Transfer
LP
5.550
02/15/28
997,191‌
600,000
Energy
Transfer
LP
5.750
02/15/33
603,928‌
500,000
Energy
Transfer
Operating
LP
4.900
02/01/24
496,569‌
825,000
Energy
Transfer
Operating
LP
4.050
03/15/25
801,823‌
400,000
Energy
Transfer
Operating
LP
2.900
05/15/25
378,992‌
325,000
Energy
Transfer
Operating
LP
4.750
01/15/26
317,705‌
250,000
Energy
Transfer
Operating
LP
4.200
04/15/27
238,700‌
350,000
Energy
Transfer
Operating
LP
4.950
06/15/28
339,490‌
2,600,000
Energy
Transfer
Operating
LP
5.250
04/15/29
2,538,230‌
3,125,000
Energy
Transfer
Operating
LP
3.750
05/15/30
2,819,713‌
400,000
Energy
Transfer
Operating
LP
4.900
03/15/35
366,625‌
500,000
Energy
Transfer
Operating
LP
5.800
06/15/38
479,048‌
140,000
Energy
Transfer
Operating
LP
7.500
07/01/38
153,508‌
650,000
Energy
Transfer
Operating
LP
6.500
02/01/42
658,278‌
200,000
Energy
Transfer
Operating
LP
5.150
02/01/43
169,915‌
200,000
Energy
Transfer
Operating
LP
5.950
10/01/43
186,586‌
550,000
Energy
Transfer
Operating
LP
5.150
03/15/45
474,280‌
625,000
Energy
Transfer
Operating
LP
6.125
12/15/45
593,786‌
500,000
Energy
Transfer
Operating
LP
5.300
04/15/47
434,885‌
1,025,000
Energy
Transfer
Operating
LP
6.000
06/15/48
972,012‌
2,750,000
Energy
Transfer
Operating
LP
6.250
04/15/49
2,685,866‌
2,175,000
Energy
Transfer
Operating
LP
5.000
05/15/50
1,836,925‌
225,000
Enterprise
Products
Operating
LLC
3.750
02/15/25
218,816‌
450,000
Enterprise
Products
Operating
LLC
3.700
02/15/26
433,863‌
3,065,000
Enterprise
Products
Operating
LLC
3.950
02/15/27
2,958,338‌
725,000
Enterprise
Products
Operating
LLC
4.150
10/16/28
693,119‌
450,000
Enterprise
Products
Operating
LLC
3.125
07/31/29
403,220‌
750,000
Enterprise
Products
Operating
LLC
2.800
01/31/30
656,609‌
1,500,000
Enterprise
Products
Operating
LLC
5.350
01/31/33
1,525,373‌
480,000
Enterprise
Products
Operating
LLC
6.125
10/15/39
509,491‌
175,000
Enterprise
Products
Operating
LLC
5.950
02/01/41
182,283‌
525,000
Enterprise
Products
Operating
LLC
4.850
08/15/42
481,338‌
325,000
Enterprise
Products
Operating
LLC
4.450
02/15/43
285,609‌
1,775,000
Enterprise
Products
Operating
LLC
4.850
03/15/44
1,638,261‌
775,000
Enterprise
Products
Operating
LLC
5.100
02/15/45
739,885‌
500,000
Enterprise
Products
Operating
LLC
4.900
05/15/46
460,795‌
675,000
Enterprise
Products
Operating
LLC
4.250
02/15/48
571,776‌
2,475,000
Enterprise
Products
Operating
LLC
4.800
02/01/49
2,265,430‌
950,000
Enterprise
Products
Operating
LLC
4.200
01/31/50
793,984‌
775,000
Enterprise
Products
Operating
LLC
3.700
01/31/51
592,902‌
1,000,000
Enterprise
Products
Operating
LLC
3.200
02/15/52
702,360‌
425,000
Enterprise
Products
Operating
LLC
3.300
02/15/53
303,262‌
200,000
Enterprise
Products
Operating
LLC
4.950
10/15/54
181,524‌
1,625,000
Enterprise
Products
Operating
LLC
3.950
01/31/60
1,252,468‌
700,000
Enterprise
Products
Operating
LLC
5.250
08/16/77
612,121‌
100,000
Enterprise
Products
Operating
LLC
8.304
08/16/77
98,333‌
400,000
Enterprise
Products
Operating
LLC
5.375
02/15/78
330,908‌
475,000
EOG
Resources,
Inc
4.150
01/15/26
464,912‌
500,000
EOG
Resources,
Inc
4.375
04/15/30
488,914‌
200,000
EOG
Resources,
Inc
3.900
04/01/35
179,372‌
200,000
EOG
Resources,
Inc
5.100
01/15/36
191,778‌
500,000
EOG
Resources,
Inc
4.950
04/15/50
493,433‌
1,660,000
EQT
Corp
6.125
02/01/25
1,650,671‌
500,000
Equinor
ASA
3.250
11/10/24
485,517‌
500,000
Equinor
ASA
2.875
04/06/25
479,185‌
400,000
Equinor
ASA
1.750
01/22/26
368,860‌
Bond
Index
Fund
June
30,
2023
30
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
500,000
Equinor
ASA
3.000
%
04/06/27
$
467,925‌
1,500,000
Equinor
ASA
3.625
09/10/28
1,431,021‌
300,000
Equinor
ASA
3.125
04/06/30
274,576‌
1,175,000
Equinor
ASA
2.375
05/22/30
1,019,928‌
300,000
Equinor
ASA
3.625
04/06/40
251,619‌
200,000
Equinor
ASA
5.100
08/17/40
200,807‌
400,000
Equinor
ASA
4.250
11/23/41
358,531‌
300,000
Equinor
ASA
3.950
05/15/43
257,101‌
1,300,000
Equinor
ASA
4.800
11/08/43
1,245,610‌
750,000
Equinor
ASA
3.250
11/18/49
562,968‌
1,300,000
Equinor
ASA
3.700
04/06/50
1,056,686‌
3,000,000
Exxon
Mobil
Corp
2.992
03/19/25
2,890,178‌
4,177,000
Exxon
Mobil
Corp
3.043
03/01/26
3,992,459‌
1,000,000
Exxon
Mobil
Corp
2.275
08/16/26
927,625‌
1,750,000
Exxon
Mobil
Corp
3.294
03/19/27
1,678,677‌
1,000,000
Exxon
Mobil
Corp
2.440
08/16/29
887,304‌
750,000
Exxon
Mobil
Corp
3.482
03/19/30
703,441‌
750,000
Exxon
Mobil
Corp
2.610
10/15/30
658,451‌
1,000,000
Exxon
Mobil
Corp
2.995
08/16/39
792,797‌
1,750,000
Exxon
Mobil
Corp
4.227
03/19/40
1,613,073‌
500,000
Exxon
Mobil
Corp
3.567
03/06/45
406,448‌
1,225,000
Exxon
Mobil
Corp
4.114
03/01/46
1,077,426‌
1,400,000
Exxon
Mobil
Corp
3.095
08/16/49
1,024,051‌
2,100,000
Exxon
Mobil
Corp
4.327
03/19/50
1,902,574‌
2,800,000
Exxon
Mobil
Corp
3.452
04/15/51
2,175,580‌
75,000
Halliburton
Co
3.800
11/15/25
72,436‌
2,000,000
Halliburton
Co
2.920
03/01/30
1,757,335‌
500,000
Halliburton
Co
4.850
11/15/35
470,824‌
125,000
Halliburton
Co
6.700
09/15/38
137,034‌
125,000
Halliburton
Co
7.450
09/15/39
144,868‌
750,000
Halliburton
Co
4.750
08/01/43
656,516‌
2,825,000
Halliburton
Co
5
.000
11/15/45
2,556,079‌
1,000,000
Helmerich
&
Payne,
Inc
2.900
09/29/31
806,062‌
200,000
Hess
Corp
3.500
07/15/24
195,102‌
2,100,000
Hess
Corp
4.300
04/01/27
2,014,100‌
200,000
Hess
Corp
6.000
01/15/40
199,620‌
1,190,000
Hess
Corp
5.600
02/15/41
1,138,562‌
900,000
Hess
Corp
5.800
04/01/47
874,376‌
200,000
HF
Sinclair
Corp
5.875
04/01/26
200,883‌
500,000
HF
Sinclair
Corp
4.500
10/01/30
443,397‌
1,130,000
Husky
Energy,
Inc
6.800
09/15/37
1,174,595‌
500,000
Kinder
Morgan
Energy
Partners
LP
4.250
09/01/24
489,903‌
300,000
Kinder
Morgan
Energy
Partners
LP
6.950
01/15/38
322,169‌
535,000
Kinder
Morgan
Energy
Partners
LP
6
.500
09/01/39
547,119‌
400,000
Kinder
Morgan
Energy
Partners
LP
4.700
11/01/42
332,392‌
500,000
Kinder
Morgan
Energy
Partners
LP
5.000
03/01/43
430,211‌
400,000
Kinder
Morgan
Energy
Partners
LP
5.500
03/01/44
364,544‌
200,000
Kinder
Morgan
Energy
Partners
LP
5.400
09/01/44
177,314‌
1,500,000
Kinder
Morgan,
Inc
1.750
11/15/26
1,327,726‌
2,825,000
Kinder
Morgan,
Inc
4.300
03/01/28
2,699,972‌
450,000
Kinder
Morgan,
Inc
2
.000
02/15/31
357,258‌
1,250,000
Kinder
Morgan,
Inc
4.800
02/01/33
1,178,919‌
1,000,000
Kinder
Morgan,
Inc
5.200
06/01/33
969,077‌
3,300,000
Kinder
Morgan,
Inc
5.300
12/01/34
3,177,313‌
1,600,000
Kinder
Morgan,
Inc
5.550
06/01/45
1,474,033‌
2,325,000
Kinder
Morgan,
Inc
5.200
03/01/48
2,035,767‌
500,000
Kinder
Morgan,
Inc
3.250
08/01/50
322,433‌
2,500,000
Kinder
Morgan,
Inc
3.600
02/15/51
1,733,125‌
750,000
Kinder
Morgan,
Inc
5.450
08/01/52
684,774‌
900,000
Magellan
Midstream
Partners
LP
5.000
03/01/26
891,343‌
475,000
Magellan
Midstream
Partners
LP
3.250
06/01/30
418,146‌
31
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
225,000
Magellan
Midstream
Partners
LP
4
.250
%
09/15/46
$
165,617‌
425,000
Magellan
Midstream
Partners
LP
4.200
10/03/47
314,888‌
525,000
Magellan
Midstream
Partners
LP
4.850
02/01/49
426,993‌
1,500,000
Magellan
Midstream
Partners
LP
3.950
03/01/50
1,071,247‌
1,475,000
Marathon
Oil
Corp
4.400
07/15/27
1,406,777‌
505,000
Marathon
Oil
Corp
6.600
10/01/37
503,500‌
600,000
Marathon
Oil
Corp
5.200
06/01/45
507,909‌
2,175,000
Marathon
Petroleum
Corp
3.625
09/15/24
2,117,838‌
500,000
Marathon
Petroleum
Corp
4.700
05/01/25
490,567‌
200,000
Marathon
Petroleum
Corp
3.800
04/01/28
186,169‌
800,000
Marathon
Petroleum
Corp
6.500
03/01/41
824,197‌
450,000
Marathon
Petroleum
Corp
4.750
09/15/44
376,359‌
250,000
Marathon
Petroleum
Corp
5.850
12/15/45
228,462‌
600,000
Marathon
Petroleum
Corp
4.500
04/01/48
473,074‌
200,000
Marathon
Petroleum
Corp
5.000
09/15/54
164,926‌
1,000,000
MPLX
LP
4.875
12/01/24
985,558‌
2,500,000
MPLX
LP
4.875
06/01/25
2,452,955‌
2,800,000
MPLX
LP
1.750
03/01/26
2,541,623‌
100,000
MPLX
LP
4.125
03/01/27
95,684‌
150,000
MPLX
LP
4.250
12/01/27
142,451‌
475,000
MPLX
LP
4.000
03/15/28
447,620‌
1,125,000
MPLX
LP
2.650
08/15/30
941,233‌
500,000
MPLX
LP
4.950
09/01/32
477,606‌
1,000,000
MPLX
LP
5.000
03/01/33
957,885‌
975,000
MPLX
LP
4.500
04/15/38
839,211‌
375,000
MPLX
LP
5.200
03/01/47
328,889‌
700,000
MPLX
LP
5.200
12/01/47
611,917‌
825,000
MPLX
LP
4.700
04/15/48
677,134‌
850,000
MPLX
LP
5.500
02/15/49
770,266‌
1,000,000
MPLX
LP
4.950
03/14/52
849,294‌
600,000
MPLX
LP
5.650
03/01/53
560,563‌
1,600,000
MPLX
LP
4.900
04/15/58
1,289,306‌
500,000
National
Oilwell
Varco,
Inc
3.600
12/01/29
444,121‌
800,000
National
Oilwell
Varco,
Inc
3.950
12/01/42
586,930‌
1,500,000
Newfield
Exploration
Co
5.375
01/01/26
1,489,818‌
1,500,000
e
Occidental
Petroleum
Corp
5.500
12/01/25
1,480,905‌
1,500,000
Occidental
Petroleum
Corp
5.550
03/15/26
1,480,875‌
2,000,000
Occidental
Petroleum
Corp
6.625
09/01/30
2,078,200‌
1,500,000
Occidental
Petroleum
Corp
6.450
09/15/36
1,539,449‌
1,500,000
Occidental
Petroleum
Corp
6.600
03/15/46
1,544,325‌
175,000
ONEOK,
Inc
2.750
09/01/24
169,112‌
100,000
ONEOK,
Inc
5.850
01/15/26
100,370‌
1,300,000
ONEOK,
Inc
4.000
07/13/27
1,216,697‌
725,000
ONEOK,
Inc
4.550
07/15/28
687,434‌
325,000
ONEOK,
Inc
4.350
03/15/29
302,204‌
500,000
ONEOK,
Inc
3.400
09/01/29
435,960‌
500,000
ONEOK,
Inc
3.100
03/15/30
429,371‌
175,000
ONEOK,
Inc
6.350
01/15/31
180,240‌
825,000
ONEOK,
Inc
6.100
11/15/32
839,317‌
675,000
ONEOK,
Inc
4.950
07/13/47
556,235‌
1,350,000
ONEOK,
Inc
5.200
07/15/48
1,150,831‌
1,000,000
ONEOK,
Inc
4.450
09/01/49
757,894‌
500,000
ONEOK,
Inc
4.500
03/15/50
381,724‌
300,000
ONEOK,
Inc
7.150
01/15/51
313,513‌
500,000
Ovintiv,
Inc
5.650
05/15/28
490,085‌
1,000,000
Ovintiv,
Inc
6.250
07/15/33
986,330‌
500,000
Ovintiv,
Inc
7.100
07/15/53
514,681‌
1,000,000
Phillips
66
3.850
04/09/25
972,191‌
925,000
Phillips
66
1.300
02/15/26
835,956‌
1,000,000
Phillips
66
4.950
12/01/27
991,075‌
1,000,000
Phillips
66
3.900
03/15/28
948,034‌
Bond
Index
Fund
June
30,
2023
32
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
625,000
Phillips
66
5.300
%
06/30/33
$
623,034‌
738,000
Phillips
66
4.650
11/15/34
696,686‌
125,000
Phillips
66
5
.875
05/01/42
129,606‌
2,375,000
Phillips
66
4.875
11/15/44
2,176,571‌
825,000
Phillips
66
3.300
03/15/52
565,554‌
500,000
Phillips
66
Co
2.450
12/15/24
475,430‌
100,000
Phillips
66
Co
3.550
10/01/26
93,802‌
675,000
Phillips
66
Co
3.750
03/01/28
632,607‌
500,000
Phillips
66
Co
3.150
12/15/29
436,240‌
425,000
Phillips
66
Co
4.680
02/15/45
362,431‌
350,000
Phillips
66
Co
4.900
10/01/46
309,284‌
2,000,000
Pioneer
Natural
Resources
Co
1.125
01/15/26
1,801,001‌
350,000
Pioneer
Natural
Resources
Co
5.100
03/29/26
347,900‌
750,000
Pioneer
Natural
Resources
Co
2.150
01/15/31
613,956‌
575,000
Plains
All
American
Pipeline
LP
3.600
11/01/24
556,327‌
1,025,000
Plains
All
American
Pipeline
LP
4.650
10/15/25
998,526‌
2,075,000
Plains
All
American
Pipeline
LP
4.500
12/15/26
2,009,330‌
1,000,000
Plains
All
American
Pipeline
LP
3.800
09/15/30
887,287‌
100,000
Plains
All
American
Pipeline
LP
6.650
01/15/37
100,317‌
250,000
Plains
All
American
Pipeline
LP
5.150
06/01/42
207,417‌
300,000
Plains
All
American
Pipeline
LP
4.700
06/15/44
234,031‌
300,000
Plains
All
American
Pipeline
LP
4.900
02/15/45
241,494‌
1,775,000
Sabine
Pass
Liquefaction
LLC
5.625
03/01/25
1,768,003‌
275,000
Sabine
Pass
Liquefaction
LLC
5.875
06/30/26
277,251‌
2,675,000
Sabine
Pass
Liquefaction
LLC
5.000
03/15/27
2,632,968‌
550,000
Sabine
Pass
Liquefaction
LLC
4.200
03/15/28
521,270‌
1,500,000
Sabine
Pass
Liquefaction
LLC
4.500
05/15/30
1,425,843‌
1,000,000
g
Sabine
Pass
Liquefaction
LLC
5.900
09/15/37
1,014,326‌
1,500,000
Schlumberger
Investment
S.A.
2.650
06/26/30
1,310,719‌
1,000,000
Schlumberger
Investment
S.A.
4.850
05/15/33
983,449‌
5,075,000
Shell
International
Finance
BV
3.250
05/11/25
4,905,187‌
2,075,000
Shell
International
Finance
BV
2.875
05/10/26
1,976,208‌
925,000
Shell
International
Finance
BV
2.500
09/12/26
861,914‌
1,225,000
Shell
International
Finance
BV
3.875
11/13/28
1,184,679‌
3,000,000
Shell
International
Finance
BV
2.375
11/07/29
2,620,450‌
1,000,000
Shell
International
Finance
BV
2.750
04/06/30
892,911‌
500,000
Shell
International
Finance
BV
4.125
05/11/35
464,226‌
350,000
Shell
International
Finance
BV
6.375
12/15/38
392,243‌
100,000
Shell
International
Finance
BV
5.500
03/25/40
104,610‌
1,500,000
Shell
International
Finance
BV
2.875
11/26/41
1,121,162‌
1,200,000
Shell
International
Finance
BV
4.550
08/12/43
1,109,193‌
2,025,000
Shell
International
Finance
BV
4.375
05/11/45
1,825,232‌
650,000
Shell
International
Finance
BV
4.000
05/10/46
552,034‌
3,180,000
Shell
International
Finance
BV
3.750
09/12/46
2,592,217‌
1,500,000
Shell
International
Finance
BV
3.125
11/07/49
1,090,392‌
1,500,000
Shell
International
Finance
BV
3.250
04/06/50
1,115,826‌
1,000,000
Shell
International
Finance
BV
3.000
11/26/51
704,425‌
400,000
Spectra
Energy
Partners
LP
3.500
03/15/25
384,538‌
1,100,000
Spectra
Energy
Partners
LP
3.375
10/15/26
1,032,741‌
200,000
Spectra
Energy
Partners
LP
5.950
09/25/43
196,662‌
600,000
Spectra
Energy
Partners
LP
4.500
03/15/45
494,269‌
250,000
Suncor
Energy,
Inc
6.800
05/15/38
265,257‌
1,625,000
Suncor
Energy,
Inc
6.500
06/15/38
1,687,172‌
1,550,000
Suncor
Energy,
Inc
4.000
11/15/47
1,197,506‌
1,000,000
Suncor
Energy,
Inc
3.750
03/04/51
732,138‌
200,000
Sunoco
Logistics
Partners
Operations
LP
5.950
12/01/25
200,592‌
400,000
Sunoco
Logistics
Partners
Operations
LP
3.900
07/15/26
380,136‌
100,000
Sunoco
Logistics
Partners
Operations
LP
6.100
02/15/42
94,525‌
300,000
Sunoco
Logistics
Partners
Operations
LP
5.300
04/01/44
259,808‌
200,000
Sunoco
Logistics
Partners
Operations
LP
5.350
05/15/45
174,790‌
1,225,000
Sunoco
Logistics
Partners
Operations
LP
5.400
10/01/47
1,079,681‌
33
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
2,000,000
Targa
Resources
Corp
5.200
%
07/01/27
$
1,963,564‌
350,000
Targa
Resources
Corp
4.200
02/01/33
309,798‌
750,000
Targa
Resources
Corp
6.125
03/15/33
766,342‌
575,000
Targa
Resources
Corp
4.950
04/15/52
475,080‌
1,250,000
Targa
Resources
Corp
6.250
07/01/52
1,221,859‌
750,000
Targa
Resources
Corp
6.500
02/15/53
765,922‌
1,000,000
Targa
Resources
Partners
LP
6.875
01/15/29
1,019,980‌
1,000,000
Targa
Resources
Partners
LP
5.500
03/01/30
962,370‌
1,000,000
Tosco
Corp
8.125
02/15/30
1,163,342‌
450,000
Total
Capital
International
S.A.
3.750
04/10/24
443,249‌
500,000
Total
Capital
International
S.A.
2.434
01/10/25
479,242‌
900,000
Total
Capital
International
S.A.
3.455
02/19/29
836,730‌
1,300,000
Total
Capital
International
S.A.
2.829
01/10/30
1,163,178‌
775,000
Total
Capital
International
S.A.
2.986
06/29/41
589,986‌
500,000
Total
Capital
International
S.A.
3.461
07/12/49
387,565‌
1,500,000
Total
Capital
International
S.A.
3.127
05/29/50
1,089,316‌
1,000,000
Total
Capital
International
S.A.
3.386
06/29/60
734,107‌
1,125,000
Total
Capital
S.A.
3.883
10/11/28
1,078,127‌
1,225,000
TransCanada
PipeLines
Ltd
4
.875
01/15/26
1,210,275‌
4,000,000
TransCanada
PipeLines
Ltd
4.100
04/15/30
3,714,334‌
1,000,000
TransCanada
PipeLines
Ltd
2.500
10/12/31
806,538‌
1,925,000
TransCanada
PipeLines
Ltd
4.625
03/01/34
1,763,840‌
100,000
TransCanada
PipeLines
Ltd
6.200
10/15/37
103,556‌
500,000
TransCanada
PipeLines
Ltd
4.750
05/15/38
446,397‌
200,000
TransCanada
PipeLines
Ltd
7.625
01/15/39
231,488‌
125,000
TransCanada
PipeLines
Ltd
6.100
06/01/40
127,234‌
1,200,000
TransCanada
PipeLines
Ltd
5.000
10/16/43
1,071,232‌
750,000
TransCanada
PipeLines
Ltd
4.875
05/15/48
671,619‌
1,425,000
TransCanada
PipeLines
Ltd
5.100
03/15/49
1,327,173‌
700,000
Transcontinental
Gas
Pipe
Line
Co
LLC
7.850
02/01/26
732,919‌
1,200,000
Transcontinental
Gas
Pipe
Line
Co
LLC
4.000
03/15/28
1,129,443‌
500,000
Transcontinental
Gas
Pipe
Line
Co
LLC
3.250
05/15/30
444,382‌
850,000
Transcontinental
Gas
Pipe
Line
Co
LLC
4.600
03/15/48
722,488‌
500,000
Transcontinental
Gas
Pipe
Line
Co
LLC
3.950
05/15/50
385,564‌
2,000,000
Vale
Overseas
Ltd
3.750
07/08/30
1,760,895‌
4,500,000
Vale
Overseas
Ltd
6
.125
06/12/33
4,508,055‌
1,164,000
Vale
Overseas
Ltd
6.875
11/21/36
1,217,239‌
750,000
Valero
Energy
Corp
2.150
09/15/27
664,269‌
342,000
Valero
Energy
Corp
4.350
06/01/28
326,904‌
1,500,000
Valero
Energy
Corp
2.800
12/01/31
1,226,943‌
455,000
Valero
Energy
Corp
7.500
04/15/32
513,065‌
850,000
Valero
Energy
Corp
6.625
06/15/37
912,036‌
300,000
Valero
Energy
Corp
4.900
03/15/45
265,032‌
1,500,000
Valero
Energy
Corp
3.650
12/01/51
1,050,219‌
1,000,000
Valero
Energy
Corp
4.000
06/01/52
753,823‌
300,000
Valero
Energy
Partners
LP
4.500
03/15/28
288,614‌
3,500,000
Williams
Cos,
Inc
2.600
03/15/31
2,900,675‌
1,000,000
Williams
Cos,
Inc
4.650
08/15/32
947,012‌
625,000
Williams
Cos,
Inc
5.650
03/15/33
633,281‌
1,500,000
Williams
Cos,
Inc
3.500
10/15/51
1,034,510‌
500,000
Williams
Cos,
Inc
5.300
08/15/52
461,000‌
150,000
Williams
Partners
LP
3.900
01/15/25
145,581‌
925,000
Williams
Partners
LP
4.000
09/15/25
892,955‌
1,300,000
Williams
Partners
LP
3.750
06/15/27
1,226,808‌
300,000
Williams
Partners
LP
6.300
04/15/40
315,009‌
300,000
Williams
Partners
LP
5.800
11/15/43
292,004‌
300,000
Williams
Partners
LP
5.400
03/04/44
276,327‌
1,000,000
Williams
Partners
LP
4.900
01/15/45
872,601‌
225,000
Williams
Partners
LP
5.100
09/15/45
202,354‌
Bond
Index
Fund
June
30,
2023
34
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
1,700,000
Williams
Partners
LP
4.850
%
03/01/48
$
1,470,780‌
TOTAL
ENERGY
348,881,636‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
0.9%
550,000
Agree
LP
2.000
06/15/28
457,660‌
150,000
Agree
LP
2.900
10/01/30
124,970‌
200,000
Agree
LP
4.800
10/01/32
185,770‌
500,000
Agree
LP
2.600
06/15/33
384,316‌
100,000
Alexandria
Real
Estate
Equities,
Inc
3.450
04/30/25
95,677‌
200,000
Alexandria
Real
Estate
Equities,
Inc
4.300
01/15/26
192,808‌
500,000
Alexandria
Real
Estate
Equities,
Inc
3.800
04/15/26
477,985‌
200,000
Alexandria
Real
Estate
Equities,
Inc
4.500
07/30/29
188,988‌
425,000
Alexandria
Real
Estate
Equities,
Inc
2.750
12/15/29
359,384‌
100,000
Alexandria
Real
Estate
Equities,
Inc
4.700
07/01/30
94,953‌
275,000
Alexandria
Real
Estate
Equities,
Inc
3.375
08/15/31
235,544‌
1,500,000
Alexandria
Real
Estate
Equities,
Inc
2.000
05/18/32
1,132,513‌
450,000
Alexandria
Real
Estate
Equities,
Inc
1.875
02/01/33
328,850‌
800,000
Alexandria
Real
Estate
Equities,
Inc
2.950
03/15/34
630,979‌
600,000
Alexandria
Real
Estate
Equities,
Inc
4.750
04/15/35
556,700‌
500,000
Alexandria
Real
Estate
Equities,
Inc
4.850
04/15/49
419,095‌
700,000
Alexandria
Real
Estate
Equities,
Inc
4.000
02/01/50
522,067‌
1,000,000
Alexandria
Real
Estate
Equities,
Inc
3.000
05/18/51
614,940‌
1,500,000
Alexandria
Real
Estate
Equities,
Inc
3.550
03/15/52
1,023,304‌
200,000
Alexandria
Real
Estate
Equities,
Inc
5.150
04/15/53
179,231‌
500,000
American
Homes
4
Rent
LP
4.900
02/15/29
480,270‌
250,000
American
Homes
4
Rent
LP
2.375
07/15/31
198,506‌
750,000
American
Homes
4
Rent
LP
3.625
04/15/32
648,145‌
250,000
American
Homes
4
Rent
LP
3.375
07/15/51
163,347‌
500,000
American
Homes
4
Rent
LP
4.300
04/15/52
389,366‌
350,000
American
Tower
Corp
3.375
05/15/24
342,647‌
750,000
American
Tower
Corp
2.400
03/15/25
706,165‌
525,000
American
Tower
Corp
4.000
06/01/25
507,071‌
1,350,000
American
Tower
Corp
1.300
09/15/25
1,222,962‌
200,000
American
Tower
Corp
4.400
02/15/26
193,814‌
1,000,000
American
Tower
Corp
1.600
04/15/26
896,797‌
1,000,000
American
Tower
Corp
1.450
09/15/26
879,729‌
425,000
American
Tower
Corp
3.375
10/15/26
396,585‌
750,000
American
Tower
Corp
2.750
01/15/27
682,328‌
500,000
American
Tower
Corp
3.125
01/15/27
460,541‌
500,000
American
Tower
Corp
3.650
03/15/27
468,073‌
150,000
American
Tower
Corp
3.550
07/15/27
138,967‌
1,000,000
American
Tower
Corp
5.500
03/15/28
993,043‌
350,000
American
Tower
Corp
3.950
03/15/29
322,515‌
750,000
American
Tower
Corp
2.900
01/15/30
646,876‌
750,000
American
Tower
Corp
2.100
06/15/30
605,643‌
725,000
American
Tower
Corp
1.875
10/15/30
572,055‌
1,000,000
American
Tower
Corp
2.700
04/15/31
829,228‌
1,000,000
American
Tower
Corp
2
.300
09/15/31
795,515‌
500,000
e
American
Tower
Corp
4.050
03/15/32
455,300‌
1,000,000
American
Tower
Corp
5.650
03/15/33
1,014,016‌
1,350,000
American
Tower
Corp
3.700
10/15/49
967,560‌
425,000
American
Tower
Corp
3.100
06/15/50
277,329‌
1,000,000
American
Tower
Corp
2.950
01/15/51
630,596‌
200,000
AvalonBay
Communities,
Inc
3.500
11/15/24
193,827‌
200,000
AvalonBay
Communities,
Inc
2.950
05/11/26
188,261‌
100,000
AvalonBay
Communities,
Inc
2.900
10/15/26
92,571‌
1,200,000
AvalonBay
Communities,
Inc
3.350
05/15/27
1,119,304‌
200,000
AvalonBay
Communities,
Inc
3.200
01/15/28
184,099‌
500,000
AvalonBay
Communities,
Inc
1.900
12/01/28
424,097‌
750,000
AvalonBay
Communities,
Inc
3.300
06/01/29
674,472‌
750,000
AvalonBay
Communities,
Inc
2.300
03/01/30
629,850‌
35
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)—continued
$
800,000
AvalonBay
Communities,
Inc
2.050
%
01/15/32
$
639,754‌
450,000
AvalonBay
Communities,
Inc
5.000
02/15/33
448,146‌
400,000
AvalonBay
Communities,
Inc
4.150
07/01/47
329,837‌
200,000
AvalonBay
Communities,
Inc
4.350
04/15/48
168,760‌
425,000
Boston
Properties
LP
3.125
09/01/23
422,423‌
200,000
Boston
Properties
LP
3.800
02/01/24
195,701‌
1,500,000
Boston
Properties
LP
3.200
01/15/25
1,422,807‌
275,000
Boston
Properties
LP
3.650
02/01/26
255,126‌
700,000
Boston
Properties
LP
2.750
10/01/26
618,025‌
500,000
Boston
Properties
LP
6.750
12/01/27
505,654‌
550,000
Boston
Properties
LP
4.500
12/01/28
504,917‌
50,000
Boston
Properties
LP
3.400
06/21/29
41,811‌
750,000
Boston
Properties
LP
2.900
03/15/30
602,349‌
1,000,000
Boston
Properties
LP
3.250
01/30/31
814,747‌
1,000,000
Boston
Properties
LP
2.550
04/01/32
753,585‌
1,000,000
Boston
Properties
LP
2.450
10/01/33
720,572‌
500,000
e
Boston
Properties
LP
6.500
01/15/34
503,141‌
500,000
Brandywine
Operating
Partnership
LP
4.100
10/01/24
479,772‌
100,000
Brandywine
Operating
Partnership
LP
3.950
11/15/27
79,306‌
1,000,000
Brandywine
Operating
Partnership
LP
7.550
03/15/28
899,730‌
500,000
Brandywine
Operating
Partnership
LP
4.550
10/01/29
361,587‌
200,000
Brixmor
Operating
Partnership
LP
3.850
02/01/25
191,277‌
225,000
Brixmor
Operating
Partnership
LP
4.125
06/15/26
210,157‌
300,000
Brixmor
Operating
Partnership
LP
3.900
03/15/27
275,820‌
100,000
Brixmor
Operating
Partnership
LP
2.250
04/01/28
84,002‌
600,000
Brixmor
Operating
Partnership
LP
4.125
05/15/29
535,197‌
940,000
Brixmor
Operating
Partnership
LP
4.050
07/01/30
847,284‌
100,000
Brixmor
Operating
Partnership
LP
2.500
08/16/31
77,632‌
100,000
Camden
Property
Trust
4
.100
10/15/28
94,503‌
325,000
Camden
Property
Trust
3.150
07/01/29
287,776‌
100,000
Camden
Property
Trust
2.800
05/15/30
86,785‌
500,000
Camden
Property
Trust
3.350
11/01/49
363,929‌
500,000
CBRE
Services,
Inc
4.875
03/01/26
485,645‌
1,000,000
CBRE
Services,
Inc
2.500
04/01/31
804,318‌
1,000,000
Corporate
Office
Properties
LP
2.250
03/15/26
885,653‌
1,000,000
Corporate
Office
Properties
LP
2.000
01/15/29
762,102‌
175,000
Corporate
Office
Properties
LP
2.750
04/15/31
132,974‌
500,000
Crown
Castle
International
Corp
3.200
09/01/24
484,565‌
1,000,000
Crown
Castle
International
Corp
1.350
07/15/25
914,243‌
975,000
Crown
Castle
International
Corp
4.450
02/15/26
948,753‌
250,000
Crown
Castle
International
Corp
3.700
06/15/26
237,473‌
1,500,000
Crown
Castle
International
Corp
1.050
07/15/26
1,313,180‌
100,000
Crown
Castle
International
Corp
4.000
03/01/27
95,051‌
525,000
Crown
Castle
International
Corp
3.650
09/01/27
490,698‌
775,000
Crown
Castle
International
Corp
3.800
02/15/28
722,338‌
300,000
Crown
Castle
International
Corp
4.300
02/15/29
282,059‌
500,000
Crown
Castle
International
Corp
3.100
11/15/29
435,346‌
275,000
Crown
Castle
International
Corp
3.300
07/01/30
242,901‌
1,050,000
Crown
Castle
International
Corp
2.250
01/15/31
855,792‌
1,500,000
Crown
Castle
International
Corp
2.100
04/01/31
1,199,718‌
1,000,000
Crown
Castle
International
Corp
2.500
07/15/31
821,515‌
1,000,000
Crown
Castle
International
Corp
2.900
04/01/41
701,194‌
200,000
Crown
Castle
International
Corp
4.750
05/15/47
171,756‌
300,000
Crown
Castle
International
Corp
5.200
02/15/49
278,260‌
500,000
Crown
Castle
International
Corp
4.000
11/15/49
383,496‌
200,000
Crown
Castle
International
Corp
4.150
07/01/50
158,675‌
875,000
Crown
Castle
International
Corp
3.250
01/15/51
596,378‌
200,000
CubeSmart
LP
3.125
09/01/26
184,003‌
600,000
CubeSmart
LP
2.250
12/15/28
505,596‌
100,000
CubeSmart
LP
4.375
02/15/29
93,730‌
250,000
CubeSmart
LP
3.000
02/15/30
213,706‌
Bond
Index
Fund
June
30,
2023
36
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)—continued
$
450,000
CubeSmart
LP
2.000
%
02/15/31
$
351,881‌
700,000
CubeSmart
LP
2.500
02/15/32
553,854‌
475,000
Digital
Realty
Trust
LP
3.700
08/15/27
436,381‌
1,300,000
Digital
Realty
Trust
LP
5.550
01/15/28
1,280,796‌
300,000
Digital
Realty
Trust
LP
4.450
07/15/28
280,819‌
1,000,000
e
Digital
Realty
Trust
LP
3.600
07/01/29
888,216‌
1,000,000
EPR
Properties
3.600
11/15/31
779,860‌
525,000
Equinix,
Inc
1.000
09/15/25
473,967‌
2,000,000
Equinix,
Inc
1.450
05/15/26
1,785,605‌
650,000
Equinix,
Inc
2.900
11/18/26
595,980‌
800,000
Equinix,
Inc
1.550
03/15/28
668,738‌
2,000,000
Equinix,
Inc
2.000
05/15/28
1,702,715‌
1,000,000
Equinix,
Inc
3.200
11/18/29
877,924‌
175,000
Equinix,
Inc
2.150
07/15/30
141,426‌
1,000,000
Equinix,
Inc
2.500
05/15/31
814,195‌
1,500,000
Equinix,
Inc
3.400
02/15/52
1,048,404‌
700,000
ERP
Operating
LP
3.375
06/01/25
671,661‌
200,000
ERP
Operating
LP
2.850
11/01/26
185,535‌
1,150,000
ERP
Operating
LP
3.250
08/01/27
1,057,953‌
500,000
ERP
Operating
LP
3.500
03/01/28
462,700‌
200,000
ERP
Operating
LP
4.150
12/01/28
190,026‌
750,000
ERP
Operating
LP
3.000
07/01/29
659,670‌
300,000
ERP
Operating
LP
2.500
02/15/30
255,353‌
500,000
ERP
Operating
LP
1.850
08/01/31
392,262‌
425,000
ERP
Operating
LP
4.500
07/01/44
371,129‌
100,000
ERP
Operating
LP
4.000
08/01/47
78,212‌
650,000
Essential
Properties
LP
2.950
07/15/31
487,112‌
400,000
Essex
Portfolio
LP
3.500
04/01/25
383,414‌
100,000
Essex
Portfolio
LP
3.375
04/15/26
94,661‌
200,000
Essex
Portfolio
LP
3.625
05/01/27
186,724‌
900,000
Essex
Portfolio
LP
4.000
03/01/29
830,507‌
325,000
Essex
Portfolio
LP
3.000
01/15/30
277,810‌
750,000
Essex
Portfolio
LP
1.650
01/15/31
569,020‌
1,000,000
Essex
Portfolio
LP
2.550
06/15/31
808,201‌
300,000
Essex
Portfolio
LP
4.500
03/15/48
243,604‌
500,000
Extra
Space
Storage
LP
3.900
04/01/29
455,450‌
1,000,000
Extra
Space
Storage
LP
5.500
07/01/30
991,725‌
700,000
Extra
Space
Storage
LP
2.550
06/01/31
566,219‌
500,000
Extra
Space
Storage
LP
2.350
03/15/32
390,728‌
500,000
Federal
Realty
Investment
Trust
3.950
01/15/24
494,296‌
300,000
Federal
Realty
Investment
Trust
1.250
02/15/26
267,842‌
50,000
Federal
Realty
Investment
Trust
3.250
07/15/27
45,340‌
1,300,000
Federal
Realty
Investment
Trust
3.200
06/15/29
1,127,487‌
300,000
Federal
Realty
Investment
Trust
3.500
06/01/30
260,920‌
200,000
Federal
Realty
Investment
Trust
4.500
12/01/44
157,503‌
1,000,000
Federal
Realty
OP
LP
5.375
05/01/28
979,173‌
250,000
GLP
Capital
LP
3.350
09/01/24
241,317‌
1,300,000
GLP
Capital
LP
5.250
06/01/25
1,272,054‌
150,000
GLP
Capital
LP
5.375
04/15/26
146,837‌
750,000
GLP
Capital
LP
5.750
06/01/28
733,774‌
200,000
GLP
Capital
LP
5.300
01/15/29
190,431‌
500,000
GLP
Capital
LP
4.000
01/15/30
433,329‌
500,000
GLP
Capital
LP
4.000
01/15/31
432,280‌
750,000
GLP
Capital
LP
3.250
01/15/32
605,560‌
100,000
Healthcare
Realty
Holdings
LP
3.625
01/15/28
88,480‌
100,000
Healthcare
Realty
Holdings
LP
2.400
03/15/30
79,137‌
175,000
Healthcare
Realty
Holdings
LP
2.050
03/15/31
131,164‌
800,000
Healthcare
Trust
of
America
Holdings
LP
3.500
08/01/26
736,017‌
500,000
Healthcare
Trust
of
America
Holdings
LP
3.100
02/15/30
428,291‌
975,000
Healthcare
Trust
of
America
Holdings
LP
2.000
03/15/31
748,512‌
100,000
Healthpeak
Properties,
Inc
3.250
07/15/26
93,130‌
37
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)—continued
$
1,500,000
Healthpeak
Properties,
Inc
1.350
%
02/01/27
$
1,298,464‌
325,000
Healthpeak
Properties,
Inc
2.125
12/01/28
273,848‌
600,000
Healthpeak
Properties,
Inc
3.500
07/15/29
538,025‌
1,000,000
Healthpeak
Properties,
Inc
3.000
01/15/30
868,667‌
175,000
Healthpeak
Properties,
Inc
2.875
01/15/31
147,788‌
750,000
Healthpeak
Properties,
Inc
5.250
12/15/32
729,851‌
30,000
Healthpeak
Properties,
Inc
6.750
02/01/41
31,866‌
100,000
Highwoods
Realty
LP
3.875
03/01/27
89,823‌
150,000
Highwoods
Realty
LP
4.125
03/15/28
131,171‌
250,000
Highwoods
Realty
LP
4.200
04/15/29
210,477‌
500,000
Highwoods
Realty
LP
3.050
02/15/30
388,084‌
775,000
Highwoods
Realty
LP
2.600
02/01/31
567,945‌
700,000
Host
Hotels
&
Resorts
LP
3.875
04/01/24
688,715‌
200,000
Host
Hotels
&
Resorts
LP
4.000
06/15/25
192,227‌
100,000
Host
Hotels
&
Resorts
LP
4.500
02/01/26
96,955‌
500,000
Host
Hotels
&
Resorts
LP
3.375
12/15/29
426,989‌
850,000
Host
Hotels
&
Resorts
LP
3.500
09/15/30
720,042‌
200,000
Host
Hotels
&
Resorts
LP
2.900
12/15/31
157,232‌
100,000
Hudson
Pacific
Properties
LP
3.950
11/01/27
72,727‌
500,000
e
Hudson
Pacific
Properties
LP
5.950
02/15/28
397,503‌
100,000
Hudson
Pacific
Properties
LP
4.650
04/01/29
70,569‌
750,000
Hudson
Pacific
Properties
LP
3.250
01/15/30
474,608‌
300,000
Invitation
Homes
Operating
Partnership
LP
2.300
11/15/28
254,965‌
500,000
Invitation
Homes
Operating
Partnership
LP
2.000
08/15/31
383,055‌
575,000
Invitation
Homes
Operating
Partnership
LP
4.150
04/15/32
514,931‌
750,000
Invitation
Homes
Operating
Partnership
LP
2.700
01/15/34
567,068‌
125,000
Kilroy
Realty
LP
3.450
12/15/24
118,419‌
250,000
Kilroy
Realty
LP
4.750
12/15/28
220,032‌
200,000
Kilroy
Realty
LP
4.250
08/15/29
170,190‌
750,000
Kilroy
Realty
LP
3.050
02/15/30
586,487‌
500,000
Kilroy
Realty
LP
2.500
11/15/32
347,294‌
1,000,000
Kilroy
Realty
LP
2.650
11/15/33
678,009‌
625,000
Kimco
Realty
Corp
2.800
10/01/26
571,640‌
200,000
Kimco
Realty
Corp
3.800
04/01/27
186,615‌
500,000
Kimco
Realty
Corp
1.900
03/01/28
421,049‌
750,000
Kimco
Realty
Corp
2.700
10/01/30
617,885‌
1,000,000
Kimco
Realty
Corp
2.250
12/01/31
778,226‌
500,000
Kimco
Realty
Corp
4.600
02/01/33
462,328‌
200,000
Kimco
Realty
Corp
4.250
04/01/45
154,759‌
175,000
Kimco
Realty
Corp
4.125
12/01/46
129,628‌
100,000
Kimco
Realty
Corp
4.450
09/01/47
81,013‌
500,000
Kimco
Realty
Corp
3.700
10/01/49
354,894‌
750,000
Lexington
Realty
Trust
2.700
09/15/30
598,955‌
200,000
Life
Storage
LP
3.875
12/15/27
185,647‌
500,000
Life
Storage
LP
4.000
06/15/29
453,322‌
100,000
Life
Storage
LP
2.200
10/15/30
80,006‌
450,000
Life
Storage
LP
2.400
10/15/31
356,496‌
100,000
Mid-America
Apartments
LP
4.000
11/15/25
96,740‌
1,000,000
Mid-America
Apartments
LP
1.100
09/15/26
872,035‌
750,000
Mid-America
Apartments
LP
3.600
06/01/27
708,163‌
200,000
Mid-America
Apartments
LP
4.200
06/15/28
190,871‌
625,000
Mid-America
Apartments
LP
3.950
03/15/29
588,329‌
175,000
Mid-America
Apartments
LP
2.750
03/15/30
151,607‌
250,000
Mid-America
Apartments
LP
1.700
02/15/31
197,336‌
150,000
Mid-America
Apartments
LP
2.875
09/15/51
96,459‌
500,000
National
Health
Investors,
Inc
3.000
02/01/31
383,642‌
1,550,000
National
Retail
Properties,
Inc
3.500
10/15/27
1,422,195‌
300,000
National
Retail
Properties,
Inc
2.500
04/15/30
249,223‌
500,000
National
Retail
Properties,
Inc
3.100
04/15/50
308,821‌
1,000,000
National
Retail
Properties,
Inc
3.000
04/15/52
607,812‌
248,000
Omega
Healthcare
Investors,
Inc
4.375
08/01/23
247,465‌
Bond
Index
Fund
June
30,
2023
38
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)—continued
$
200,000
Omega
Healthcare
Investors,
Inc
4.500
%
04/01/27
$
185,736‌
825,000
Omega
Healthcare
Investors,
Inc
4.750
01/15/28
753,084‌
500,000
Omega
Healthcare
Investors,
Inc
3.625
10/01/29
409,762‌
500,000
Omega
Healthcare
Investors,
Inc
3.375
02/01/31
396,594‌
1,000,000
Omega
Healthcare
Investors,
Inc
3.250
04/15/33
742,641‌
200,000
Physicians
Realty
LP
4
.300
03/15/27
188,281‌
200,000
Physicians
Realty
LP
3.950
01/15/28
182,513‌
1,000,000
Physicians
Realty
LP
2.625
11/01/31
777,857‌
200,000
Piedmont
Operating
Partnership
LP
4.450
03/15/24
195,457‌
1,000,000
Piedmont
Operating
Partnership
LP
2.750
04/01/32
673,313‌
100,000
Prologis
LP
3.250
10/01/26
94,681‌
100,000
Prologis
LP
4.375
02/01/29
96,043‌
500,000
Prologis
LP
2.250
04/15/30
423,782‌
1,000,000
Prologis
LP
1.625
03/15/31
790,111‌
100,000
Prologis
LP
4.375
09/15/48
85,154‌
500,000
Prologis
LP
3.000
04/15/50
339,742‌
500,000
Prologis
LP
2.125
10/15/50
280,455‌
100,000
ProLogis
LP
3.250
06/30/26
94,683‌
1,000,000
ProLogis
LP
3.375
12/15/27
929,442‌
750,000
ProLogis
LP
4.875
06/15/28
743,205‌
100,000
ProLogis
LP
4.000
09/15/28
95,857‌
225,000
ProLogis
LP
2.875
11/15/29
196,931‌
200,000
ProLogis
LP
1.750
07/01/30
160,680‌
775,000
ProLogis
LP
2.250
01/15/32
625,609‌
1,000,000
ProLogis
LP
4.625
01/15/33
976,247‌
750,000
ProLogis
LP
4.750
06/15/33
732,610‌
750,000
ProLogis
LP
5.125
01/15/34
744,646‌
500,000
ProLogis
LP
3.050
03/01/50
344,953‌
1,250,000
ProLogis
LP
5.250
06/15/53
1,228,286‌
1,500,000
Public
Storage
0.875
02/15/26
1,344,418‌
750,000
e
Public
Storage
1.500
11/09/26
671,307‌
200,000
Public
Storage
3.094
09/15/27
186,509‌
750,000
Public
Storage
1.950
11/09/28
643,030‌
500,000
Public
Storage
3.385
05/01/29
461,696‌
250,000
Public
Storage
2.250
11/09/31
204,170‌
200,000
Realty
Income
Corp
3.875
04/15/25
193,822‌
750,000
Realty
Income
Corp
0.750
03/15/26
658,949‌
425,000
Realty
Income
Corp
4.875
06/01/26
420,307‌
200,000
Realty
Income
Corp
4.125
10/15/26
191,834‌
200,000
Realty
Income
Corp
3.000
01/15/27
184,405‌
650,000
Realty
Income
Corp
3.950
08/15/27
617,329‌
1,000,000
Realty
Income
Corp
3.400
01/15/28
921,973‌
1,000,000
Realty
Income
Corp
3.650
01/15/28
932,646‌
500,000
Realty
Income
Corp
2.200
06/15/28
432,918‌
750,000
Realty
Income
Corp
4.700
12/15/28
726,518‌
500,000
Realty
Income
Corp
3.250
06/15/29
447,085‌
500,000
Realty
Income
Corp
3.100
12/15/29
437,993‌
1,000,000
Realty
Income
Corp
4.850
03/15/30
966,699‌
1,500,000
Realty
Income
Corp
3.250
01/15/31
1,311,060‌
750,000
Realty
Income
Corp
1.800
03/15/33
546,211‌
750,000
Realty
Income
Corp
4.900
07/15/33
716,863‌
300,000
Realty
Income
Corp
4.650
03/15/47
269,016‌
375,000
Regency
Centers
LP
3.600
02/01/27
352,478‌
125,000
Regency
Centers
LP
4.125
03/15/28
116,744‌
425,000
Regency
Centers
LP
2.950
09/15/29
364,262‌
500,000
Regency
Centers
LP
3.700
06/15/30
446,749‌
200,000
Regency
Centers
LP
4.400
02/01/47
161,792‌
300,000
Regency
Centers
LP
4.650
03/15/49
251,510‌
350,000
Retail
Properties
of
America,
Inc
4.750
09/15/30
314,593‌
300,000
Sabra
Health
Care
LP
5.125
08/15/26
281,881‌
1,000,000
Sabra
Health
Care
LP
3.200
12/01/31
745,964‌
39
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)—continued
$
500,000
Simon
Property
Group
LP
2.000
%
09/13/24
$
477,095‌
450,000
Simon
Property
Group
LP
3.375
10/01/24
436,176‌
800,000
Simon
Property
Group
LP
3.500
09/01/25
766,450‌
625,000
Simon
Property
Group
LP
3.300
01/15/26
594,593‌
350,000
Simon
Property
Group
LP
3.250
11/30/26
328,099‌
1,000,000
Simon
Property
Group
LP
1
.375
01/15/27
876,213‌
200,000
Simon
Property
Group
LP
3.375
06/15/27
185,991‌
300,000
Simon
Property
Group
LP
3.375
12/01/27
276,770‌
1,000,000
Simon
Property
Group
LP
1.750
02/01/28
854,792‌
1,750,000
Simon
Property
Group
LP
2.450
09/13/29
1,473,228‌
750,000
Simon
Property
Group
LP
2.650
07/15/30
637,030‌
1,000,000
Simon
Property
Group
LP
2.200
02/01/31
804,211‌
500,000
Simon
Property
Group
LP
2.250
01/15/32
389,930‌
1,500,000
Simon
Property
Group
LP
2.650
02/01/32
1,214,481‌
1,000,000
Simon
Property
Group
LP
5.500
03/08/33
992,877‌
1,500,000
Simon
Property
Group
LP
4.250
10/01/44
1,204,346‌
300,000
Simon
Property
Group
LP
4.250
11/30/46
240,579‌
500,000
Simon
Property
Group
LP
3.250
09/13/49
335,980‌
750,000
Simon
Property
Group
LP
3.800
07/15/50
554,893‌
1,000,000
Simon
Property
Group
LP
5.850
03/08/53
993,101‌
150,000
SITE
Centers
Corp
4.250
02/01/26
140,493‌
200,000
SITE
Centers
Corp
4.700
06/01/27
182,900‌
525,000
Sovran
Acquisition
LP
3.500
07/01/26
493,027‌
300,000
Spirit
Realty
LP
3.200
01/15/27
269,937‌
1,000,000
Spirit
Realty
LP
2.100
03/15/28
838,010‌
500,000
Spirit
Realty
LP
4.000
07/15/29
439,809‌
300,000
Spirit
Realty
LP
3.400
01/15/30
254,723‌
500,000
Spirit
Realty
LP
3.200
02/15/31
408,326‌
500,000
STORE
Capital
Corp
4.625
03/15/29
420,909‌
500,000
STORE
Capital
Corp
2.750
11/18/30
361,257‌
500,000
Sun
Communities
Operating
LP
2.300
11/01/28
420,276‌
1,000,000
Sun
Communities
Operating
LP
4.200
04/15/32
873,262‌
500,000
Sun
Communities
Operating
LP
5.700
01/15/33
487,001‌
100,000
Tanger
Properties
LP
3.125
09/01/26
88,665‌
250,000
e
Tanger
Properties
LP
3.875
07/15/27
223,569‌
500,000
Tanger
Properties
LP
2.750
09/01/31
362,844‌
200,000
UDR,
Inc
3.500
07/01/27
186,643‌
200,000
UDR,
Inc
3.500
01/15/28
182,700‌
600,000
UDR,
Inc
3.200
01/15/30
529,887‌
1,000,000
UDR,
Inc
3.000
08/15/31
845,840‌
750,000
UDR,
Inc
2.100
08/01/32
569,355‌
500,000
UDR,
Inc
1.900
03/15/33
365,744‌
300,000
UDR,
Inc
3.100
11/01/34
238,704‌
300,000
Ventas
Realty
LP
3.500
04/15/24
293,269‌
750,000
Ventas
Realty
LP
2.650
01/15/25
705,224‌
120,000
Ventas
Realty
LP
4.125
01/15/26
114,775‌
200,000
Ventas
Realty
LP
3.250
10/15/26
183,108‌
1,000,000
Ventas
Realty
LP
4.000
03/01/28
925,043‌
525,000
Ventas
Realty
LP
4.400
01/15/29
490,003‌
350,000
Ventas
Realty
LP
3.000
01/15/30
299,366‌
500,000
Ventas
Realty
LP
4.750
11/15/30
473,261‌
1,025,000
Ventas
Realty
LP
2.500
09/01/31
812,465‌
300,000
Ventas
Realty
LP
4.375
02/01/45
240,585‌
300,000
Ventas
Realty
LP
4.875
04/15/49
255,955‌
1,500,000
VICI
Properties
LP
4.375
05/15/25
1,449,681‌
850,000
VICI
Properties
LP
4.750
02/15/28
804,809‌
750,000
VICI
Properties
LP
4.950
02/15/30
703,560‌
1,000,000
VICI
Properties
LP
5.625
05/15/52
890,800‌
200,000
Vornado
Realty
LP
3.500
01/15/25
188,273‌
275,000
Vornado
Realty
LP
2.150
06/01/26
232,961‌
275,000
Vornado
Realty
LP
3.400
06/01/31
199,028‌
Bond
Index
Fund
June
30,
2023
40
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)—continued
$
2,000,000
Welltower,
Inc
3.625
%
03/15/24
$
1,966,505‌
600,000
Welltower,
Inc
4.250
04/01/26
580,170‌
500,000
Welltower,
Inc
2.700
02/15/27
452,425‌
600,000
Welltower,
Inc
4.250
04/15/28
564,503‌
1,000,000
Welltower,
Inc
2.050
01/15/29
831,323‌
500,000
Welltower,
Inc
4.125
03/15/29
462,480‌
425,000
Welltower,
Inc
3.100
01/15/30
368,013‌
400,000
Welltower,
Inc
2
.750
01/15/31
329,989‌
1,000,000
Welltower,
Inc
2.800
06/01/31
826,391‌
500,000
Welltower,
Inc
2.750
01/15/32
404,024‌
150,000
Welltower,
Inc
3.850
06/15/32
132,133‌
300,000
Welltower,
Inc
4.950
09/01/48
267,810‌
1,000,000
Weyerhaeuser
Co
4.750
05/15/26
982,261‌
500,000
Weyerhaeuser
Co
4.000
11/15/29
461,021‌
500,000
Weyerhaeuser
Co
4.000
04/15/30
459,835‌
304,000
Weyerhaeuser
Co
7.375
03/15/32
339,243‌
300,000
Weyerhaeuser
Co
3.375
03/09/33
258,051‌
1,375,000
Weyerhaeuser
Co
4.000
03/09/52
1,097,282‌
347,000
WP
Carey,
Inc
4.000
02/01/25
335,992‌
1,000,000
WP
Carey,
Inc
3.850
07/15/29
907,235‌
750,000
WP
Carey,
Inc
2.400
02/01/31
602,875‌
500,000
WP
Carey,
Inc
2.450
02/01/32
391,344‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
189,885,805‌
FINANCIAL
SERVICES
-
2.8%
299,000
AerCap
Ireland
Capital
DAC
4.500
09/15/23
297,878‌
1,000,000
AerCap
Ireland
Capital
DAC
3.150
02/15/24
980,979‌
750,000
AerCap
Ireland
Capital
DAC
2.875
08/14/24
720,744‌
2,000,000
AerCap
Ireland
Capital
DAC
1.650
10/29/24
1,879,419‌
2,000,000
AerCap
Ireland
Capital
DAC
1.750
10/29/24
1,878,355‌
1,675,000
AerCap
Ireland
Capital
DAC
3.500
01/15/25
1,603,658‌
1,000,000
AerCap
Ireland
Capital
DAC
6.500
07/15/25
1,004,945‌
300,000
AerCap
Ireland
Capital
DAC
4.450
10/01/25
288,572‌
500,000
AerCap
Ireland
Capital
DAC
1.750
01/30/26
448,804‌
500,000
AerCap
Ireland
Capital
DAC
4.450
04/03/26
477,386‌
2,500,000
AerCap
Ireland
Capital
DAC
2
.450
10/29/26
2,232,877‌
250,000
AerCap
Ireland
Capital
DAC
3.650
07/21/27
228,961‌
1,000,000
AerCap
Ireland
Capital
DAC
4.625
10/15/27
947,508‌
200,000
AerCap
Ireland
Capital
DAC
3.875
01/23/28
183,875‌
1,000,000
e
AerCap
Ireland
Capital
DAC
5.750
06/06/28
991,728‌
1,450,000
AerCap
Ireland
Capital
DAC
3.000
10/29/28
1,253,746‌
700,000
AerCap
Ireland
Capital
DAC
3.300
01/30/32
572,669‌
2,000,000
AerCap
Ireland
Capital
DAC
3.400
10/29/33
1,606,402‌
800,000
AerCap
Ireland
Capital
DAC
3.850
10/29/41
607,692‌
1,000,000
Affiliated
Managers
Group,
Inc
3.300
06/15/30
843,478‌
20,000
Ahold
Finance
USA
LLC
6.875
05/01/29
21,317‌
500,000
Ally
Financial,
Inc
5.800
05/01/25
491,493‌
1,000,000
Ally
Financial,
Inc
4.750
06/09/27
928,327‌
400,000
e
Ally
Financial,
Inc
7.100
11/15/27
403,434‌
1,000,000
Ally
Financial,
Inc
2
.200
11/02/28
798,114‌
1,500,000
Ally
Financial,
Inc
6.992
06/13/29
1,481,256‌
2,000,000
Ally
Financial,
Inc
8.000
11/01/31
2,076,242‌
750,000
American
Express
Co
3.000
10/30/24
723,026‌
1,500,000
American
Express
Co
3.950
08/01/25
1,455,843‌
1,000,000
American
Express
Co
4.200
11/06/25
972,434‌
1,500,000
American
Express
Co
4.900
02/13/26
1,484,598‌
2,500,000
American
Express
Co
3.125
05/20/26
2,368,635‌
2,000,000
American
Express
Co
1.650
11/04/26
1,779,215‌
1,500,000
American
Express
Co
2.550
03/04/27
1,365,614‌
1,500,000
American
Express
Co
5.850
11/05/27
1,535,903‌
575,000
American
Express
Co
4.050
05/03/29
547,410‌
41
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
2,700,000
American
Express
Co
4.989
%
05/26/33
$
2,586,812‌
1,000,000
American
Express
Co
4.420
08/03/33
943,599‌
3,000,000
American
Express
Co
5.043
05/01/34
2,934,365‌
525,000
American
Express
Co
4.050
12/03/42
457,049‌
1,000,000
American
Honda
Finance
Corp
2.400
06/27/24
969,341‌
1,000,000
American
Honda
Finance
Corp
0.550
07/12/24
950,109‌
500,000
American
Honda
Finance
Corp
2.150
09/10/24
479,624‌
1,000,000
American
Honda
Finance
Corp
1.200
07/08/25
920,206‌
750,000
American
Honda
Finance
Corp
1.000
09/10/25
684,072‌
3,000,000
American
Honda
Finance
Corp
1.300
09/09/26
2,671,496‌
100,000
American
Honda
Finance
Corp
2.300
09/09/26
91,867‌
1,000,000
American
Honda
Finance
Corp
2.350
01/08/27
916,163‌
1,000,000
American
Honda
Finance
Corp
4.700
01/12/28
991,733‌
1,000,000
American
Honda
Finance
Corp
2.250
01/12/29
869,041‌
1,000,000
American
Honda
Finance
Corp
4.600
04/17/30
976,529‌
1,000,000
American
Honda
Finance
Corp
1.800
01/13/31
809,752‌
300,000
Ameriprise
Financial,
Inc
3.700
10/15/24
292,300‌
125,000
Ameriprise
Financial,
Inc
3
.000
04/02/25
119,007‌
200,000
Ameriprise
Financial,
Inc
2.875
09/15/26
186,593‌
350,000
Ameriprise
Financial,
Inc
4.500
05/13/32
335,167‌
1,000,000
Ameriprise
Financial,
Inc
5.150
05/15/33
992,879‌
1,000,000
Andrew
W
Mellon
Foundation
0.947
08/01/27
865,473‌
850,000
Ares
Capital
Corp
4.200
06/10/24
829,649‌
500,000
Ares
Capital
Corp
4.250
03/01/25
477,021‌
500,000
Ares
Capital
Corp
3.250
07/15/25
462,476‌
1,200,000
Ares
Capital
Corp
3.875
01/15/26
1,112,538‌
1,500,000
Ares
Capital
Corp
2.150
07/15/26
1,300,611‌
750,000
Ares
Capital
Corp
2.875
06/15/28
620,225‌
750,000
Ares
Capital
Corp
3.200
11/15/31
574,923‌
800,000
Bank
of
New
York
Mellon
Corp
3.250
09/11/24
775,635‌
1,750,000
Bank
of
New
York
Mellon
Corp
2.100
10/24/24
1,672,530‌
500,000
Bank
of
New
York
Mellon
Corp
3.000
02/24/25
480,446‌
725,000
Bank
of
New
York
Mellon
Corp
1.600
04/24/25
679,317‌
2,000,000
Bank
of
New
York
Mellon
Corp
3.350
04/25/25
1,923,132‌
1,500,000
Bank
of
New
York
Mellon
Corp
0.750
01/28/26
1,334,997‌
500,000
Bank
of
New
York
Mellon
Corp
2.800
05/04/26
470,279‌
1,000,000
Bank
of
New
York
Mellon
Corp
4.414
07/24/26
978,722‌
500,000
Bank
of
New
York
Mellon
Corp
2.450
08/17/26
460,112‌
1,000,000
Bank
of
New
York
Mellon
Corp
2.050
01/26/27
899,910‌
300,000
Bank
of
New
York
Mellon
Corp
3.250
05/16/27
280,556‌
1,000,000
Bank
of
New
York
Mellon
Corp
3.400
01/29/28
935,176‌
600,000
Bank
of
New
York
Mellon
Corp
3.850
04/28/28
570,935‌
2,000,000
Bank
of
New
York
Mellon
Corp
1.650
07/14/28
1,708,471‌
775,000
Bank
of
New
York
Mellon
Corp
5.802
10/25/28
789,934‌
1,500,000
Bank
of
New
York
Mellon
Corp
4.543
02/01/29
1,459,911‌
400,000
Bank
of
New
York
Mellon
Corp
3.300
08/23/29
358,620‌
500,000
Bank
of
New
York
Mellon
Corp
4.596
07/26/30
482,220‌
1,500,000
Bank
of
New
York
Mellon
Corp
1.650
01/28/31
1,205,605‌
1,000,000
Bank
of
New
York
Mellon
Corp
1.800
07/28/31
792,050‌
500,000
Bank
of
New
York
Mellon
Corp
4.289
06/13/33
473,143‌
1,000,000
Bank
of
New
York
Mellon
Corp
5.834
10/25/33
1,042,553‌
1,000,000
Bank
of
New
York
Mellon
Corp
4.706
02/01/34
960,440‌
2,000,000
Bank
of
New
York
Mellon
Corp
4.967
04/26/34
1,953,157‌
1,000,000
Barings
BDC,
Inc
3.300
11/23/26
871,140‌
2,400,000
Berkshire
Hathaway,
Inc
3.125
03/15/26
2,311,850‌
800,000
Berkshire
Hathaway,
Inc
4.500
02/11/43
771,609‌
250,000
BGC
Partners,
Inc
5.375
07/24/23
249,834‌
500,000
BGC
Partners,
Inc
3.750
10/01/24
472,108‌
500,000
g
BGC
Partners,
Inc
8.000
05/25/28
483,064‌
1,000,000
e
BlackRock
TCP
Capital
Corp
2.850
02/09/26
898,828‌
500,000
BlackRock,
Inc
3.500
03/18/24
492,429‌
Bond
Index
Fund
June
30,
2023
42
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
850,000
BlackRock,
Inc
3.250
%
04/30/29
$
788,105‌
1,450,000
BlackRock,
Inc
1.900
01/28/31
1,189,061‌
2,000,000
BlackRock,
Inc
2.100
02/25/32
1,612,874‌
1,000,000
BlackRock,
Inc
4.750
05/25/33
982,617‌
750,000
Blackstone
Secured
Lending
Fund
3.650
07/14/23
749,166‌
750,000
Blackstone
Secured
Lending
Fund
3.625
01/15/26
689,754‌
1,400,000
Blackstone
Secured
Lending
Fund
2.750
09/16/26
1,223,534‌
1,000,000
Blackstone
Secured
Lending
Fund
2.125
02/15/27
844,320‌
1,025,000
BPCE
S.A.
4.000
04/15/24
1,008,515‌
300,000
BPCE
S.A.
3.375
12/02/26
277,368‌
300,000
Brookfield
Asset
Management,
Inc
4.000
01/15/25
290,952‌
1,000,000
Brookfield
Capital
Finance
LLC
6.087
06/14/33
1,015,194‌
1,000,000
Brookfield
Finance
I
UK
PLC
2.340
01/30/32
778,627‌
1,000,000
Brookfield
Finance
LLC
3.450
04/15/50
661,125‌
550,000
Brookfield
Finance,
Inc
4.000
04/01/24
542,318‌
200,000
Brookfield
Finance,
Inc
4.250
06/02/26
192,093‌
600,000
Brookfield
Finance,
Inc
3.900
01/25/28
555,513‌
600,000
Brookfield
Finance,
Inc
4.850
03/29/29
575,595‌
725,000
Brookfield
Finance,
Inc
4.700
09/20/47
606,110‌
1,000,000
Brookfield
Finance,
Inc
3.500
03/30/51
661,447‌
1,000,000
Brookfield
Finance,
Inc
3
.625
02/15/52
678,981‌
300,000
Capital
One
Financial
Corp
3.900
01/29/24
296,315‌
750,000
Capital
One
Financial
Corp
3.300
10/30/24
720,619‌
125,000
Capital
One
Financial
Corp
3.200
02/05/25
118,883‌
625,000
e
Capital
One
Financial
Corp
4.250
04/30/25
603,334‌
850,000
Capital
One
Financial
Corp
4.200
10/29/25
812,517‌
750,000
Capital
One
Financial
Corp
4.985
07/24/26
726,938‌
700,000
Capital
One
Financial
Corp
3.750
07/28/26
651,893‌
1,075,000
Capital
One
Financial
Corp
3.750
03/09/27
1,001,290‌
1,000,000
Capital
One
Financial
Corp
3.650
05/11/27
928,815‌
1,000,000
Capital
One
Financial
Corp
1.878
11/02/27
856,630‌
2,700,000
Capital
One
Financial
Corp
3.800
01/31/28
2,481,104‌
1,400,000
Capital
One
Financial
Corp
4.927
05/10/28
1,328,347‌
2,000,000
Capital
One
Financial
Corp
5.468
02/01/29
1,915,925‌
1,000,000
Capital
One
Financial
Corp
6
.312
06/08/29
993,263‌
2,000,000
Capital
One
Financial
Corp
3.273
03/01/30
1,698,158‌
750,000
Capital
One
Financial
Corp
5.247
07/26/30
707,032‌
2,525,000
Capital
One
Financial
Corp
2.359
07/29/32
1,783,185‌
1,000,000
Capital
One
Financial
Corp
2.618
11/02/32
770,333‌
1,000,000
Capital
One
Financial
Corp
5.817
02/01/34
954,075‌
1,000,000
Capital
One
Financial
Corp
6.377
06/08/34
992,835‌
1,000,000
Cboe
Global
Markets,
Inc
1.625
12/15/30
785,492‌
500,000
Cboe
Global
Markets,
Inc
3.000
03/16/32
426,945‌
450,000
CBOE
Holdings,
Inc
3.650
01/12/27
428,997‌
300,000
Charles
Schwab
Corp
3.750
04/01/24
295,002‌
200,000
Charles
Schwab
Corp
3.000
03/10/25
190,352‌
350,000
Charles
Schwab
Corp
3.625
04/01/25
336,443‌
1,250,000
Charles
Schwab
Corp
3.850
05/21/25
1,203,079‌
1,500,000
Charles
Schwab
Corp
0.900
03/11/26
1,325,063‌
1,500,000
Charles
Schwab
Corp
1.150
05/13/26
1,327,421‌
500,000
Charles
Schwab
Corp
3.200
03/02/27
459,795‌
350,000
Charles
Schwab
Corp
2.450
03/03/27
313,520‌
525,000
Charles
Schwab
Corp
3.300
04/01/27
485,789‌
200,000
Charles
Schwab
Corp
3.200
01/25/28
181,572‌
2,000,000
Charles
Schwab
Corp
2.000
03/20/28
1,721,920‌
300,000
Charles
Schwab
Corp
4.000
02/01/29
280,799‌
1,000,000
Charles
Schwab
Corp
5.643
05/19/29
998,800‌
500,000
Charles
Schwab
Corp
2.750
10/01/29
425,318‌
1,500,000
Charles
Schwab
Corp
1.650
03/11/31
1,142,107‌
1,500,000
Charles
Schwab
Corp
2.300
05/13/31
1,195,131‌
1,000,000
Charles
Schwab
Corp
1.950
12/01/31
761,785‌
43
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
1,000,000
Charles
Schwab
Corp
2.900
%
03/03/32
$
823,225‌
1,500,000
CI
Financial
Corp
3.200
12/17/30
1,124,172‌
1,000,000
CI
Financial
Corp
4.100
06/15/51
607,519‌
475,000
CME
Group,
Inc
3.000
03/15/25
457,589‌
500,000
CME
Group,
Inc
3.750
06/15/28
478,253‌
1,500,000
CME
Group,
Inc
2.650
03/15/32
1,274,093‌
400,000
CME
Group,
Inc
5.300
09/15/43
415,619‌
500,000
CME
Group,
Inc
4.150
06/15/48
451,874‌
2,000,000
Credit
Suisse
AG.
0.495
02/02/24
1,923,939‌
2,900,000
Credit
Suisse
AG.
3.625
09/09/24
2,792,737‌
500,000
Credit
Suisse
AG.
2.950
04/09/25
469,861‌
1,000,000
Credit
Suisse
AG.
1.250
08/07/26
860,879‌
1,350,000
Credit
Suisse
AG.
5.000
07/09/27
1,303,278‌
2,000,000
Credit
Suisse
AG.
7.500
02/15/28
2,124,421‌
525,000
Deutsche
Bank
AG.
3.700
05/30/24
509,711‌
1,000,000
Deutsche
Bank
AG.
2.222
09/18/24
987,339‌
2,000,000
Deutsche
Bank
AG.
1.447
04/01/25
1,900,475‌
1,000,000
Deutsche
Bank
AG.
4.162
05/13/25
963,257‌
1,000,000
Deutsche
Bank
AG.
3.961
11/26/25
953,484‌
1,800,000
Deutsche
Bank
AG.
4.100
01/13/26
1,684,337‌
2,000,000
Deutsche
Bank
AG.
1.686
03/19/26
1,801,159‌
2,000,000
Deutsche
Bank
AG.
6.119
07/14/26
1,977,734‌
2,000,000
Deutsche
Bank
AG.
2.129
11/24/26
1,779,442‌
1,050,000
Deutsche
Bank
AG.
2.311
11/16/27
902,304‌
800,000
Deutsche
Bank
AG.
6.720
01/18/29
801,140‌
825,000
Deutsche
Bank
AG.
3.547
09/18/31
685,171‌
1,000,000
Deutsche
Bank
AG.
3.729
01/14/32
756,196‌
1,000,000
Deutsche
Bank
AG.
3.742
01/07/33
733,370‌
2,500,000
Deutsche
Bank
AG.
7.079
02/10/34
2,312,587‌
100,000
Diageo
Investment
Corp
4.250
05/11/42
90,420‌
700,000
Discover
Financial
Services
3.950
11/06/24
674,555‌
200,000
Discover
Financial
Services
4.500
01/30/26
191,519‌
350,000
Discover
Financial
Services
4.100
02/09/27
324,709‌
500,000
Discover
Financial
Services
6.700
11/29/32
515,116‌
200,000
E*TRADE
Financial
Corp
3.800
08/24/27
189,608‌
300,000
E*TRADE
Financial
Corp
4.500
06/20/28
288,964‌
200,000
Eaton
Vance
Corp
3.500
04/06/27
185,837‌
750,000
Equitable
Holdings,
Inc
5.594
01/11/33
735,347‌
1,000,000
FactSet
Research
Systems,
Inc
2.900
03/01/27
917,399‌
1,500,000
Fidelity
National
Information
Services,
Inc
1.150
03/01/26
1,337,757‌
500,000
Fidelity
National
Information
Services,
Inc
4.700
07/15/27
486,471‌
825,000
Fidelity
National
Information
Services,
Inc
2.250
03/01/31
658,409‌
500,000
e
Fidelity
National
Information
Services,
Inc
5.100
07/15/32
485,133‌
425,000
Fidelity
National
Information
Services,
Inc
3.100
03/01/41
292,470‌
500,000
Fidelity
National
Information
Services,
Inc
5.625
07/15/52
471,305‌
2,000,000
Fiserv,
Inc
2.750
07/01/24
1,940,434‌
1,675,000
Fiserv,
Inc
3.850
06/01/25
1,618,060‌
900,000
Fiserv,
Inc
3.200
07/01/26
844,528‌
1,000,000
Fiserv,
Inc
5.450
03/02/28
1,004,883‌
1,125,000
Fiserv,
Inc
3.500
07/01/29
1,026,828‌
2,175,000
Fiserv,
Inc
2.650
06/01/30
1,853,546‌
2,300,000
Fiserv,
Inc
4.400
07/01/49
1,943,437‌
750,000
e
Ford
Foundation
2.415
06/01/50
497,896‌
525,000
Ford
Foundation
2.815
06/01/70
324,626‌
200,000
Franklin
Resources,
Inc
2.850
03/30/25
190,379‌
1,500,000
Franklin
Resources,
Inc
1.600
10/30/30
1,176,141‌
500,000
Franklin
Resources,
Inc
2.950
08/12/51
316,553‌
750,000
e
FS
KKR
Capital
Corp
4.125
02/01/25
709,316‌
750,000
FS
KKR
Capital
Corp
3.400
01/15/26
682,127‌
1,000,000
FS
KKR
Capital
Corp
2.625
01/15/27
852,436‌
1,500,000
FS
KKR
Capital
Corp
3.125
10/12/28
1,221,106‌
Bond
Index
Fund
June
30,
2023
44
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
500,000
GE
Capital
Funding
LLC
3.450
%
05/15/25
$
477,672‌
1,608,000
GE
Capital
Funding
LLC
4.550
05/15/32
1,561,222‌
125,000
General
Motors
Financial
Co,
Inc
4.000
01/15/25
121,142‌
3,175,000
General
Motors
Financial
Co,
Inc
4.350
04/09/25
3,091,957‌
450,000
General
Motors
Financial
Co,
Inc
4.300
07/13/25
436,461‌
500,000
General
Motors
Financial
Co,
Inc
1.250
01/08/26
446,107‌
275,000
General
Motors
Financial
Co,
Inc
5.250
03/01/26
270,833‌
1,000,000
General
Motors
Financial
Co,
Inc
1.500
06/10/26
883,693‌
525,000
General
Motors
Financial
Co,
Inc
4.000
10/06/26
497,864‌
1,400,000
General
Motors
Financial
Co,
Inc
4.350
01/17/27
1,342,153‌
1,000,000
General
Motors
Financial
Co,
Inc
2.350
02/26/27
891,389‌
1,000,000
General
Motors
Financial
Co,
Inc
2.700
08/20/27
885,591‌
1,100,000
General
Motors
Financial
Co,
Inc
3.850
01/05/28
1,014,111‌
2,000,000
General
Motors
Financial
Co,
Inc
2.400
04/10/28
1,724,347‌
1,000,000
General
Motors
Financial
Co,
Inc
5.800
06/23/28
996,185‌
1,850,000
General
Motors
Financial
Co,
Inc
2.400
10/15/28
1,566,388‌
2,400,000
General
Motors
Financial
Co,
Inc
5.650
01/17/29
2,360,463‌
1,000,000
General
Motors
Financial
Co,
Inc
4.300
04/06/29
917,705‌
1,500,000
General
Motors
Financial
Co,
Inc
3.600
06/21/30
1,295,966‌
2,000,000
General
Motors
Financial
Co,
Inc
2.350
01/08/31
1,566,688‌
1,000,000
General
Motors
Financial
Co,
Inc
3.100
01/12/32
808,802‌
2,500,000
e
General
Motors
Financial
Co,
Inc
6.400
01/09/33
2,541,101‌
575,000
Global
Payments,
Inc
2.650
02/15/25
545,346‌
2,500,000
Global
Payments,
Inc
1.200
03/01/26
2,221,688‌
300,000
Global
Payments,
Inc
4.800
04/01/26
292,857‌
1,000,000
Global
Payments,
Inc
2.150
01/15/27
888,852‌
500,000
Global
Payments,
Inc
4.950
08/15/27
487,169‌
500,000
Global
Payments,
Inc
4.450
06/01/28
469,128‌
475,000
Global
Payments,
Inc
3.200
08/15/29
412,863‌
500,000
Global
Payments,
Inc
5.300
08/15/29
487,127‌
325,000
Global
Payments,
Inc
2.900
05/15/30
275,463‌
500,000
Global
Payments,
Inc
5.400
08/15/32
487,218‌
1,250,000
Global
Payments,
Inc
4.150
08/15/49
935,674‌
500,000
Global
Payments,
Inc
5.950
08/15/52
478,424‌
500,000
e
Goldman
Sachs
BDC,
Inc
3.750
02/10/25
477,805‌
500,000
e
Goldman
Sachs
BDC,
Inc
2.875
01/15/26
459,338‌
2,025,000
Goldman
Sachs
Group,
Inc
4.000
03/03/24
1,999,016‌
425,000
Goldman
Sachs
Group,
Inc
3.850
07/08/24
416,770‌
600,000
Goldman
Sachs
Group,
Inc
3.500
01/23/25
578,927‌
250,000
Goldman
Sachs
Group,
Inc
3.500
04/01/25
240,148‌
1,100,000
Goldman
Sachs
Group,
Inc
3.750
05/22/25
1,061,677‌
2,375,000
Goldman
Sachs
Group,
Inc
3.272
09/29/25
2,294,662‌
575,000
Goldman
Sachs
Group,
Inc
4.250
10/21/25
554,110‌
700,000
Goldman
Sachs
Group,
Inc
0.855
02/12/26
645,015‌
1,125,000
Goldman
Sachs
Group,
Inc
3.750
02/25/26
1,079,800‌
425,000
Goldman
Sachs
Group,
Inc
3.500
11/16/26
398,439‌
2,700,000
Goldman
Sachs
Group,
Inc
1.093
12/09/26
2,406,067‌
125,000
Goldman
Sachs
Group,
Inc
5.950
01/15/27
126,724‌
3,950,000
Goldman
Sachs
Group,
Inc
3.850
01/26/27
3,755,386‌
2,600,000
Goldman
Sachs
Group,
Inc
1.431
03/09/27
2,323,114‌
2,000,000
Goldman
Sachs
Group,
Inc
4.387
06/15/27
1,944,930‌
5,000,000
Goldman
Sachs
Group,
Inc
1.542
09/10/27
4,394,516‌
6,500,000
Goldman
Sachs
Group,
Inc
1.948
10/21/27
5,781,932‌
2,000,000
Goldman
Sachs
Group,
Inc
2.640
02/24/28
1,814,689‌
3,000,000
Goldman
Sachs
Group,
Inc
3.615
03/15/28
2,814,816‌
4,475,000
Goldman
Sachs
Group,
Inc
3.691
06/05/28
4,204,455‌
2,000,000
Goldman
Sachs
Group,
Inc
4.482
08/23/28
1,933,632‌
8,525,000
Goldman
Sachs
Group,
Inc
3.814
04/23/29
7,913,616‌
2,550,000
Goldman
Sachs
Group,
Inc
4.223
05/01/29
2,408,451‌
2,500,000
Goldman
Sachs
Group,
Inc
2.600
02/07/30
2,129,194‌
2,500,000
Goldman
Sachs
Group,
Inc
3.800
03/15/30
2,311,895‌
45
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
5,000,000
Goldman
Sachs
Group,
Inc
1.992
%
01/27/32
$
3,936,124‌
2,050,000
Goldman
Sachs
Group,
Inc
2.615
04/22/32
1,681,244‌
2,550,000
Goldman
Sachs
Group,
Inc
2.383
07/21/32
2,042,547‌
1,500,000
Goldman
Sachs
Group,
Inc
2.650
10/21/32
1,222,689‌
2,000,000
Goldman
Sachs
Group,
Inc
3.102
02/24/33
1,689,507‌
900,000
Goldman
Sachs
Group,
Inc
6.750
10/01/37
967,989‌
2,425,000
Goldman
Sachs
Group,
Inc
4.017
10/31/38
2,053,625‌
4,525,000
Goldman
Sachs
Group,
Inc
4.411
04/23/39
3,948,582‌
2,475,000
Goldman
Sachs
Group,
Inc
6.250
02/01/41
2,660,343‌
1,900,000
Goldman
Sachs
Group,
Inc
3.210
04/22/42
1,403,756‌
2,000,000
Goldman
Sachs
Group,
Inc
3.436
02/24/43
1,521,328‌
1,225,000
Goldman
Sachs
Group,
Inc
4.800
07/08/44
1,121,567‌
1,650,000
Goldman
Sachs
Group,
Inc
5.150
05/22/45
1,540,532‌
200,000
Goldman
Sachs
Group,
Inc
4.750
10/21/45
181,790‌
1,250,000
Golub
Capital
BDC,
Inc
2.500
08/24/26
1,080,998‌
1,000,000
Golub
Capital
BDC,
Inc
2.050
02/15/27
840,978‌
1,000,000
Hercules
Capital,
Inc
3.375
01/20/27
866,259‌
825,000
Intercontinental
Exchange,
Inc
3.750
12/01/25
800,773‌
1,000,000
Intercontinental
Exchange,
Inc
3.100
09/15/27
934,321‌
500,000
Intercontinental
Exchange,
Inc
4.000
09/15/27
486,823‌
500,000
e
Intercontinental
Exchange,
Inc
3.750
09/21/28
474,797‌
1,500,000
Intercontinental
Exchange,
Inc
4.350
06/15/29
1,467,056‌
1,500,000
Intercontinental
Exchange,
Inc
2.100
06/15/30
1,255,328‌
1,000,000
Intercontinental
Exchange,
Inc
1.850
09/15/32
770,851‌
2,000,000
Intercontinental
Exchange,
Inc
4.600
03/15/33
1,938,420‌
775,000
Intercontinental
Exchange,
Inc
2.650
09/15/40
547,312‌
575,000
Intercontinental
Exchange,
Inc
4.250
09/21/48
497,980‌
1,000,000
Intercontinental
Exchange,
Inc
3.000
06/15/50
692,680‌
1,000,000
Intercontinental
Exchange,
Inc
4.950
06/15/52
948,668‌
1,000,000
Intercontinental
Exchange,
Inc
3.000
09/15/60
652,386‌
2,000,000
Intercontinental
Exchange,
Inc
5.200
06/15/62
1,976,128‌
200,000
Invesco
Finance
plc
4.000
01/30/24
197,402‌
800,000
Invesco
Finance
plc
3.750
01/15/26
770,801‌
200,000
Invesco
Finance
plc
5.375
11/30/43
194,553‌
300,000
Janus
Capital
Group,
Inc
4.875
08/01/25
295,117‌
1,000,000
Jefferies
Group
LLC
4.850
01/15/27
979,577‌
600,000
Jefferies
Group
LLC
6.450
06/08/27
619,441‌
1,000,000
Jefferies
Group
LLC
4.150
01/23/30
899,055‌
1,000,000
Jefferies
Group
LLC
2.625
10/15/31
775,282‌
1,000,000
Jefferies
Group
LLC
2.750
10/15/32
768,009‌
2,000,000
Landwirtschaftliche
Rentenbank
3.875
06/14/28
1,968,786‌
150,000
Lazard
Group
LLC
3.750
02/13/25
144,269‌
200,000
Lazard
Group
LLC
3.625
03/01/27
185,851‌
325,000
Lazard
Group
LLC
4.500
09/19/28
307,706‌
425,000
Lazard
Group
LLC
4.375
03/11/29
394,489‌
400,000
Legg
Mason,
Inc
5.625
01/15/44
393,684‌
1,250,000
Main
Street
Capital
Corp
3.000
07/14/26
1,099,329‌
1,000,000
Mastercard,
Inc
3.375
04/01/24
983,800‌
1,000,000
Mastercard,
Inc
2.000
03/03/25
950,480‌
425,000
Mastercard,
Inc
2.950
11/21/26
401,509‌
750,000
Mastercard,
Inc
3.500
02/26/28
715,728‌
1,000,000
Mastercard,
Inc
4.875
03/09/28
1,011,310‌
1,000,000
Mastercard,
Inc
2.950
06/01/29
909,716‌
625,000
Mastercard,
Inc
1.900
03/15/31
519,469‌
1,500,000
e
Mastercard,
Inc
2.000
11/18/31
1,238,452‌
1,000,000
Mastercard,
Inc
4.850
03/09/33
1,016,764‌
200,000
Mastercard,
Inc
3.800
11/21/46
169,663‌
300,000
Mastercard,
Inc
3.950
02/26/48
265,846‌
1,000,000
Mastercard,
Inc
3.650
06/01/49
832,064‌
1,350,000
Mastercard,
Inc
3.850
03/26/50
1,162,043‌
850,000
Mastercard,
Inc
2.950
03/15/51
620,243‌
Bond
Index
Fund
June
30,
2023
46
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
1,200,000
Moody's
Corp
3.250
%
01/15/28
$
1,117,448‌
300,000
Moody's
Corp
4.250
02/01/29
288,724‌
500,000
Moody's
Corp
4.250
08/08/32
474,944‌
1,000,000
Moody's
Corp
2
.750
08/19/41
701,744‌
200,000
Moody's
Corp
5.250
07/15/44
196,403‌
300,000
Moody's
Corp
4.875
12/17/48
281,023‌
750,000
Moody's
Corp
3.250
05/20/50
536,987‌
1,000,000
Moody's
Corp
3.750
02/25/52
793,054‌
1,000,000
Moody's
Corp
3.100
11/29/61
655,923‌
4,092,000
Morgan
Stanley
3.700
10/23/24
3,994,552‌
2,000,000
Morgan
Stanley
3.620
04/17/25
1,960,257‌
6,000,000
Morgan
Stanley
0.790
05/30/25
5,699,613‌
1,025,000
Morgan
Stanley
2.720
07/22/25
988,395‌
500,000
Morgan
Stanley
4.000
07/23/25
485,441‌
950,000
Morgan
Stanley
5.000
11/24/25
933,915‌
575,000
Morgan
Stanley
3.875
01/27/26
555,053‌
4,000,000
Morgan
Stanley
2.630
02/18/26
3,792,016‌
2,000,000
Morgan
Stanley
4.679
07/17/26
1,962,576‌
500,000
Morgan
Stanley
3.125
07/27/26
468,222‌
400,000
Morgan
Stanley
4.350
09/08/26
386,297‌
5,000,000
Morgan
Stanley
0.985
12/10/26
4,458,032‌
2,750,000
Morgan
Stanley
3.625
01/20/27
2,611,151‌
2,000,000
Morgan
Stanley
5.050
01/28/27
1,983,336‌
1,975,000
Morgan
Stanley
3.950
04/23/27
1,869,994‌
4,975,000
Morgan
Stanley
1.593
05/04/27
4,453,710‌
3,325,000
Morgan
Stanley
1.512
07/20/27
2,945,843‌
2,000,000
Morgan
Stanley
4.210
04/20/28
1,921,291‌
1,575,000
Morgan
Stanley
3.591
07/22/28
1,453,236‌
1,500,000
Morgan
Stanley
6.296
10/18/28
1,541,325‌
2,850,000
Morgan
Stanley
3.772
01/24/29
2,660,690‌
4,000,000
Morgan
Stanley
5.123
02/01/29
3,944,948‌
2,500,000
Morgan
Stanley
5.164
04/20/29
2,469,464‌
3,475,000
Morgan
Stanley
4.431
01/23/30
3,306,238‌
5,000,000
Morgan
Stanley
2.699
01/22/31
4,252,467‌
1,500,000
Morgan
Stanley
3.622
04/01/31
1,351,636‌
5,000,000
Morgan
Stanley
1.794
02/13/32
3,878,485‌
150,000
Morgan
Stanley
7.250
04/01/32
170,096‌
2,500,000
Morgan
Stanley
1.928
04/28/32
1,951,573‌
4,000,000
Morgan
Stanley
2.239
07/21/32
3,179,146‌
3,500,000
Morgan
Stanley
2.511
10/20/32
2,827,009‌
3,000,000
Morgan
Stanley
2.943
01/21/33
2,493,683‌
2,000,000
Morgan
Stanley
4.889
07/20/33
1,924,898‌
1,500,000
Morgan
Stanley
6.342
10/18/33
1,595,705‌
2,500,000
Morgan
Stanley
5.250
04/21/34
2,468,620‌
1,300,000
Morgan
Stanley
2.484
09/16/36
986,362‌
2,000,000
Morgan
Stanley
5.297
04/20/37
1,892,390‌
950,000
Morgan
Stanley
5.948
01/19/38
937,690‌
1,725,000
Morgan
Stanley
3.971
07/22/38
1,468,497‌
2,675,000
Morgan
Stanley
4.457
04/22/39
2,382,902‌
1,525,000
Morgan
Stanley
3.217
04/22/42
1,156,407‌
275,000
Morgan
Stanley
6.375
07/24/42
306,638‌
1,175,000
Morgan
Stanley
4.300
01/27/45
1,027,891‌
2,200,000
Morgan
Stanley
4.375
01/22/47
1,955,937‌
900,000
Morgan
Stanley
5.597
03/24/51
939,524‌
1,425,000
Morgan
Stanley
2.802
01/25/52
935,026‌
400,000
NASDAQ,
Inc
3.850
06/30/26
384,339‌
1,500,000
NASDAQ,
Inc
5
.350
06/28/28
1,502,164‌
500,000
e
NASDAQ,
Inc
1.650
01/15/31
388,072‌
1,500,000
NASDAQ,
Inc
5.550
02/15/34
1,505,899‌
500,000
NASDAQ,
Inc
2.500
12/21/40
335,357‌
500,000
NASDAQ,
Inc
3.250
04/28/50
338,028‌
47
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
500,000
NASDAQ,
Inc
3.950
%
03/07/52
$
384,113‌
900,000
NASDAQ,
Inc
5.950
08/15/53
921,501‌
400,000
NASDAQ,
Inc
6.100
06/28/63
409,021‌
200,000
National
Rural
Utilities
Cooperative
Finance
Corp
3.400
11/15/23
198,251‌
400,000
National
Rural
Utilities
Cooperative
Finance
Corp
2.850
01/27/25
384,641‌
1,000,000
National
Rural
Utilities
Cooperative
Finance
Corp
3.450
06/15/25
961,980‌
200,000
National
Rural
Utilities
Cooperative
Finance
Corp
3.250
11/01/25
190,214‌
1,000,000
National
Rural
Utilities
Cooperative
Finance
Corp
1.000
06/15/26
885,515‌
1,500,000
National
Rural
Utilities
Cooperative
Finance
Corp
4.800
03/15/28
1,482,927‌
1,000,000
National
Rural
Utilities
Cooperative
Finance
Corp
5.050
09/15/28
996,601‌
200,000
National
Rural
Utilities
Cooperative
Finance
Corp
3.900
11/01/28
188,503‌
300,000
National
Rural
Utilities
Cooperative
Finance
Corp
3.700
03/15/29
276,931‌
1,000,000
National
Rural
Utilities
Cooperative
Finance
Corp
2.400
03/15/30
844,058‌
1,000,000
National
Rural
Utilities
Cooperative
Finance
Corp
1.350
03/15/31
763,122‌
1,000,000
National
Rural
Utilities
Cooperative
Finance
Corp
1.650
06/15/31
776,548‌
400,000
National
Rural
Utilities
Cooperative
Finance
Corp
4.150
12/15/32
370,752‌
1,500,000
National
Rural
Utilities
Cooperative
Finance
Corp
5.800
01/15/33
1,568,414‌
375,000
i
National
Rural
Utilities
Cooperative
Finance
Corp
LIBOR
3
M
+
2.910%
8.209
04/30/43
363,600‌
200,000
National
Rural
Utilities
Cooperative
Finance
Corp
5.250
04/20/46
187,000‌
200,000
National
Rural
Utilities
Cooperative
Finance
Corp
4.400
11/01/48
170,724‌
550,000
National
Rural
Utilities
Cooperative
Finance
Corp
4.300
03/15/49
464,501‌
500,000
National
Rural
Utilities
Cooperative
Finance
Corp
7.125
09/15/53
500,933‌
1,000,000
Nomura
Holdings,
Inc
1.851
07/16/25
914,600‌
1,000,000
Nomura
Holdings,
Inc
1.653
07/14/26
879,696‌
1,000,000
Nomura
Holdings,
Inc
2.329
01/22/27
883,982‌
500,000
Nomura
Holdings,
Inc
5.386
07/06/27
490,378‌
1,000,000
Nomura
Holdings,
Inc
5.842
01/18/28
1,001,903‌
1,000,000
Nomura
Holdings,
Inc
2.172
07/14/28
843,626‌
1,000,000
Nomura
Holdings,
Inc
2.710
01/22/29
842,842‌
500,000
Nomura
Holdings,
Inc
5.605
07/06/29
493,151‌
1,500,000
Nomura
Holdings,
Inc
3.103
01/16/30
1,278,397‌
500,000
Nomura
Holdings,
Inc
2.679
07/16/30
409,102‌
1,500,000
Nomura
Holdings,
Inc
2.608
07/14/31
1,190,153‌
1,000,000
Nomura
Holdings,
Inc
2.999
01/22/32
810,263‌
1,000,000
e
Nomura
Holdings,
Inc
6.181
01/18/33
1,031,792‌
625,000
Northern
Trust
Corp
3.950
10/30/25
602,226‌
725,000
Northern
Trust
Corp
4.000
05/10/27
698,446‌
500,000
Northern
Trust
Corp
3.650
08/03/28
473,944‌
500,000
Northern
Trust
Corp
3.150
05/03/29
453,206‌
700,000
Northern
Trust
Corp
1.950
05/01/30
575,490‌
100,000
Northern
Trust
Corp
3.375
05/08/32
88,699‌
500,000
Northern
Trust
Corp
6.125
11/02/32
518,372‌
1,500,000
Oaktree
Specialty
Lending
Corp
2.700
01/15/27
1,294,093‌
1,250,000
Oesterreichische
Kontrollbank
AG.
0.500
09/16/24
1,178,696‌
1,500,000
Oesterreichische
Kontrollbank
AG.
1.500
02/12/25
1,414,119‌
2,000,000
Oesterreichische
Kontrollbank
AG.
0.375
09/17/25
1,814,780‌
600,000
Oesterreichische
Kontrollbank
AG.
4.125
01/20/26
590,660‌
2,500,000
Oesterreichische
Kontrollbank
AG.
0.500
02/02/26
2,243,828‌
2,000,000
Oesterreichische
Kontrollbank
AG.
4.250
03/01/28
1,993,481‌
500,000
ORIX
Corp
3
.250
12/04/24
479,915‌
200,000
ORIX
Corp
3.700
07/18/27
188,171‌
500,000
ORIX
Corp
5.000
09/13/27
496,167‌
1,000,000
e
ORIX
Corp
2.250
03/09/31
820,450‌
1,000,000
ORIX
Corp
4.000
04/13/32
923,633‌
500,000
e
ORIX
Corp
5.200
09/13/32
505,980‌
500,000
Owl
Rock
Capital
Corp
4.000
03/30/25
468,762‌
500,000
Owl
Rock
Capital
Corp
3.750
07/22/25
463,319‌
1,000,000
Owl
Rock
Capital
Corp
4.250
01/15/26
925,105‌
750,000
Owl
Rock
Capital
Corp
3.400
07/15/26
664,325‌
1,000,000
Owl
Rock
Capital
Corp
2.875
06/11/28
814,812‌
1,000,000
OWL
Rock
Core
Income
Corp
5.500
03/21/25
962,278‌
Bond
Index
Fund
June
30,
2023
48
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
1,000,000
OWL
Rock
Core
Income
Corp
4.700
%
02/08/27
$
907,422‌
750,000
g
OWL
Rock
Core
Income
Corp
7.750
09/16/27
746,204‌
500,000
g
OWL
Rock
Core
Income
Corp
7.950
06/13/28
500,981‌
1,000,000
PayPal
Holdings,
Inc
2.400
10/01/24
960,943‌
1,000,000
PayPal
Holdings,
Inc
1.650
06/01/25
935,802‌
1,000,000
PayPal
Holdings,
Inc
2.650
10/01/26
929,150‌
1,000,000
PayPal
Holdings,
Inc
3.900
06/01/27
966,971‌
1,000,000
PayPal
Holdings,
Inc
2.850
10/01/29
886,748‌
500,000
e
PayPal
Holdings,
Inc
2.300
06/01/30
423,879‌
1,000,000
PayPal
Holdings,
Inc
3.250
06/01/50
725,022‌
750,000
e
PayPal
Holdings,
Inc
5.050
06/01/52
734,333‌
750,000
PayPal
Holdings,
Inc
5.250
06/01/62
728,821‌
3,000,000
Private
Export
Funding
Corp
(PEFCO)
1.400
07/15/28
2,586,330‌
1,000,000
Prospect
Capital
Corp
3.364
11/15/26
834,954‌
1,000,000
Prospect
Capital
Corp
3.437
10/15/28
759,992‌
425,000
Raymond
James
Financial,
Inc
4.950
07/15/46
383,290‌
1,000,000
Raymond
James
Financial,
Inc
3.750
04/01/51
757,744‌
625,000
S&P
Global,
Inc
2.450
03/01/27
576,471‌
1,000,000
S&P
Global,
Inc
2.700
03/01/29
900,036‌
500,000
S&P
Global,
Inc
2.500
12/01/29
435,735‌
500,000
S&P
Global,
Inc
1.250
08/15/30
393,754‌
1,000,000
S&P
Global,
Inc
2.900
03/01/32
866,750‌
500,000
S&P
Global,
Inc
3.250
12/01/49
375,861‌
1,000,000
S&P
Global,
Inc
3.700
03/01/52
815,309‌
500,000
S&P
Global,
Inc
2.300
08/15/60
289,582‌
1,000,000
S&P
Global,
Inc
3.900
03/01/62
826,293‌
1,400,000
Shire
Acquisitions
Investments
Ireland
DAC
3.200
09/23/26
1,314,534‌
1,500,000
Sixth
Street
Specialty
Lending,
Inc
2.500
08/01/26
1,313,374‌
750,000
State
Street
Corp
3.300
12/16/24
723,783‌
375,000
State
Street
Corp
3.550
08/18/25
361,294‌
1,000,000
State
Street
Corp
2.354
11/01/25
954,434‌
500,000
State
Street
Corp
2.901
03/30/26
476,820‌
650,000
State
Street
Corp
2.650
05/19/26
609,120‌
1,000,000
State
Street
Corp
1.684
11/18/27
891,689‌
1,000,000
State
Street
Corp
2
.203
02/07/28
901,990‌
525,000
State
Street
Corp
5.820
11/04/28
537,737‌
300,000
State
Street
Corp
4.141
12/03/29
284,971‌
750,000
State
Street
Corp
2.400
01/24/30
647,075‌
1,375,000
State
Street
Corp
2.200
03/03/31
1,117,164‌
1,000,000
State
Street
Corp
2.623
02/07/33
829,630‌
200,000
State
Street
Corp
4.421
05/13/33
189,779‌
750,000
State
Street
Corp
4.164
08/04/33
694,360‌
1,000,000
State
Street
Corp
4.821
01/26/34
970,969‌
1,000,000
State
Street
Corp
5.159
05/18/34
994,016‌
500,000
State
Street
Corp
3.031
11/01/34
426,103‌
100,000
Stifel
Financial
Corp
4.250
07/18/24
97,889‌
500,000
Synchrony
Financial
4.375
03/19/24
490,231‌
250,000
Synchrony
Financial
4.250
08/15/24
241,033‌
600,000
Synchrony
Financial
4.500
07/23/25
565,637‌
300,000
Synchrony
Financial
3.700
08/04/26
269,181‌
900,000
Synchrony
Financial
3.950
12/01/27
784,079‌
500,000
Synchrony
Financial
5.150
03/19/29
453,642‌
2,000,000
Synchrony
Financial
2.875
10/28/31
1,454,298‌
1,000,000
Toyota
Motor
Credit
Corp
2.000
10/07/24
959,128‌
3,000,000
Toyota
Motor
Credit
Corp
1.800
02/13/25
2,838,633‌
1,500,000
Toyota
Motor
Credit
Corp
3.400
04/14/25
1,451,918‌
1,000,000
Toyota
Motor
Credit
Corp
0.800
10/16/25
905,809‌
1,000,000
Toyota
Motor
Credit
Corp
0.800
01/09/26
899,070‌
4,000,000
Toyota
Motor
Credit
Corp
1.125
06/18/26
3,576,485‌
1,000,000
Toyota
Motor
Credit
Corp
1.900
01/13/27
902,946‌
1,000,000
Toyota
Motor
Credit
Corp
3.050
03/22/27
936,525‌
49
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
1,000,000
Toyota
Motor
Credit
Corp
5.450
%
11/10/27
$
1,019,967‌
300,000
Toyota
Motor
Credit
Corp
3.050
01/11/28
277,920‌
1,000,000
e
Toyota
Motor
Credit
Corp
4.625
01/12/28
991,224‌
400,000
Toyota
Motor
Credit
Corp
3.650
01/08/29
375,839‌
2,000,000
Toyota
Motor
Credit
Corp
4.450
06/29/29
1,961,181‌
650,000
Toyota
Motor
Credit
Corp
2.150
02/13/30
556,070‌
225,000
Toyota
Motor
Credit
Corp
3.375
04/01/30
206,943‌
1,000,000
Toyota
Motor
Credit
Corp
4.550
05/17/30
975,532‌
1,000,000
Toyota
Motor
Credit
Corp
1.650
01/10/31
802,296‌
1,000,000
Toyota
Motor
Credit
Corp
1.900
09/12/31
804,418‌
1,000,000
Toyota
Motor
Credit
Corp
2.400
01/13/32
837,271‌
1,000,000
Toyota
Motor
Credit
Corp
4.700
01/12/33
989,993‌
1,300,000
UBS
Group
AG.
3.750
03/26/25
1,243,969‌
2,750,000
UBS
Group
AG.
4.550
04/17/26
2,643,206‌
1,750,000
UBS
Group
AG.
4.875
05/15/45
1,515,138‌
3,725,000
Visa,
Inc
3.150
12/14/25
3,570,525‌
2,000,000
Visa,
Inc
1.900
04/15/27
1,823,368‌
1,175,000
Visa,
Inc
0.750
08/15/27
1,017,919‌
700,000
Visa,
Inc
2.750
09/15/27
649,334‌
475,000
Visa,
Inc
2.050
04/15/30
406,808‌
250,000
Visa,
Inc
4.150
12/14/35
238,002‌
1,500,000
Visa,
Inc
2.700
04/15/40
1,152,278‌
2,325,000
Visa,
Inc
4.300
12/14/45
2,157,078‌
1,125,000
Visa,
Inc
3.650
09/15/47
952,030‌
750,000
Visa,
Inc
2.000
08/15/50
460,251‌
550,000
Voya
Financial,
Inc
3.650
06/15/26
518,761‌
200,000
Voya
Financial,
Inc
5.700
07/15/43
191,795‌
TOTAL
FINANCIAL
SERVICES
586,830,849‌
FOOD,
BEVERAGE
&
TOBACCO
-
1.1%
1,300,000
Altria
Group,
Inc
2.350
05/06/25
1,223,373‌
727,000
Altria
Group,
Inc
4.400
02/14/26
711,364‌
700,000
e
Altria
Group,
Inc
2.625
09/16/26
647,963‌
800,000
Altria
Group,
Inc
3.400
05/06/30
705,942‌
2,175,000
Altria
Group,
Inc
2.450
02/04/32
1,696,182‌
800,000
Altria
Group,
Inc
5.800
02/14/39
783,060‌
1,500,000
Altria
Group,
Inc
3.400
02/04/41
1,046,948‌
925,000
Altria
Group,
Inc
4.250
08/09/42
721,517‌
300,000
Altria
Group,
Inc
4.500
05/02/43
238,575‌
775,000
Altria
Group,
Inc
5.375
01/31/44
728,673‌
900,000
Altria
Group,
Inc
3.875
09/16/46
630,796‌
3,375,000
Altria
Group,
Inc
5.950
02/14/49
3,204,054‌
1,000,000
Altria
Group,
Inc
4.450
05/06/50
735,249‌
1,000,000
Altria
Group,
Inc
3.700
02/04/51
669,646‌
1,000,000
Altria
Group,
Inc
4.000
02/04/61
689,317‌
14,500,000
Anheuser-Busch
Cos
LLC
3.650
02/01/26
14,044,219‌
3,150,000
Anheuser-Busch
Cos
LLC
4.700
02/01/36
3,063,736‌
7,375,000
Anheuser-Busch
Cos
LLC
4.900
02/01/46
7,048,957‌
1,125,000
Anheuser-Busch
InBev
Finance,
Inc
4.625
02/01/44
1,032,108‌
625,000
e
Anheuser-Busch
InBev
Worldwide,
Inc
4.900
01/23/31
635,489‌
1,700,000
Anheuser-Busch
InBev
Worldwide,
Inc
4.375
04/15/38
1,573,990‌
100,000
Anheuser-Busch
InBev
Worldwide,
Inc
8.200
01/15/39
130,696‌
2,675,000
Anheuser-Busch
InBev
Worldwide,
Inc
5.450
01/23/39
2,767,953‌
500,000
Anheuser-Busch
InBev
Worldwide,
Inc
4.350
06/01/40
459,770‌
150,000
Anheuser-Busch
InBev
Worldwide,
Inc
4.950
01/15/42
146,394‌
309,000
Anheuser-Busch
InBev
Worldwide,
Inc
4.600
04/15/48
286,829‌
1,764,000
Anheuser-Busch
InBev
Worldwide,
Inc
4.439
10/06/48
1,587,367‌
2,025,000
Anheuser-Busch
InBev
Worldwide,
Inc
5.550
01/23/49
2,134,337‌
3,441,000
Anheuser-Busch
InBev
Worldwide,
Inc
4.500
06/01/50
3,173,102‌
1,725,000
Anheuser-Busch
InBev
Worldwide,
Inc
4.750
04/15/58
1,599,201‌
2,150,000
Anheuser-Busch
InBev
Worldwide,
Inc
5.800
01/23/59
2,342,828‌
Bond
Index
Fund
June
30,
2023
50
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOOD,
BEVERAGE
&
TOBACCO—continued
$
1,075,000
Archer-Daniels-Midland
Co
2.500
%
08/11/26
$
1,007,008‌
1,500,000
Archer-Daniels-Midland
Co
3.250
03/27/30
1,374,251‌
500,000
Archer-Daniels-Midland
Co
2.900
03/01/32
434,824‌
325,000
Archer-Daniels-Midland
Co
4.500
08/15/33
317,080‌
800,000
Archer-Daniels-Midland
Co
4.500
03/15/49
742,134‌
1,000,000
Archer-Daniels-Midland
Co
2.700
09/15/51
674,302‌
3,950,000
BAT
Capital
Corp
3.222
08/15/24
3,833,320‌
500,000
BAT
Capital
Corp
2.789
09/06/24
480,964‌
3,525,000
BAT
Capital
Corp
3.557
08/15/27
3,241,453‌
400,000
BAT
Capital
Corp
2.259
03/25/28
342,806‌
275,000
BAT
Capital
Corp
4.906
04/02/30
259,950‌
650,000
BAT
Capital
Corp
2.726
03/25/31
517,713‌
500,000
BAT
Capital
Corp
4.742
03/16/32
455,875‌
1,000,000
BAT
Capital
Corp
7.750
10/19/32
1,100,515‌
1,400,000
BAT
Capital
Corp
4.390
08/15/37
1,119,870‌
475,000
BAT
Capital
Corp
3.734
09/25/40
337,953‌
1,625,000
BAT
Capital
Corp
4.540
08/15/47
1,195,787‌
900,000
BAT
Capital
Corp
4.758
09/06/49
679,419‌
500,000
BAT
Capital
Corp
5.282
04/02/50
414,082‌
1,000,000
BAT
Capital
Corp
3.984
09/25/50
673,854‌
1,000,000
BAT
Capital
Corp
5.650
03/16/52
868,740‌
5,000,000
BAT
International
Finance
plc
1.668
03/25/26
4,495,346‌
500,000
BAT
International
Finance
plc
4.448
03/16/28
471,955‌
200,000
Brown-Forman
Corp
3.500
04/15/25
193,800‌
225,000
Brown-Forman
Corp
4.750
04/15/33
225,843‌
200,000
Brown-Forman
Corp
4.000
04/15/38
176,403‌
200,000
Brown-Forman
Corp
4.500
07/15/45
185,702‌
500,000
Bunge
Ltd
1.630
08/17/25
460,028‌
125,000
Bunge
Ltd
3.250
08/15/26
117,586‌
500,000
Bunge
Ltd
3.750
09/25/27
472,004‌
1,500,000
Bunge
Ltd
2.750
05/14/31
1,259,148‌
500,000
Campbell
Soup
Co
3.950
03/15/25
485,887‌
725,000
Campbell
Soup
Co
4.150
03/15/28
694,006‌
500,000
Campbell
Soup
Co
2.375
04/24/30
421,431‌
800,000
Campbell
Soup
Co
4.800
03/15/48
722,225‌
500,000
Campbell
Soup
Co
3.125
04/24/50
343,499‌
300,000
Coca-Cola
Bottling
Co
Consolidated
3.800
11/25/25
291,139‌
1,000,000
Coca-Cola
Co
3.375
03/25/27
964,063‌
1,000,000
Coca-Cola
Co
1.450
06/01/27
893,672‌
1,000,000
Coca-Cola
Co
1.500
03/05/28
878,190‌
2,000,000
Coca-Cola
Co
1.000
03/15/28
1,718,381‌
600,000
Coca-Cola
Co
2.125
09/06/29
526,031‌
300,000
Coca-Cola
Co
3.450
03/25/30
283,051‌
800,000
Coca-Cola
Co
1.650
06/01/30
666,473‌
1,500,000
Coca-Cola
Co
2.000
03/05/31
1,260,285‌
2,000,000
Coca-Cola
Co
1.375
03/15/31
1,602,039‌
2,000,000
e
Coca-Cola
Co
2.250
01/05/32
1,701,760‌
725,000
Coca-Cola
Co
2.500
06/01/40
546,037‌
1,000,000
Coca-Cola
Co
2.875
05/05/41
790,157‌
1,500,000
Coca-Cola
Co
2.600
06/01/50
1,047,573‌
1,500,000
Coca-Cola
Co
3.000
03/05/51
1,142,815‌
1,000,000
e
Coca-Cola
Co
2.750
06/01/60
688,484‌
678,000
Coca-Cola
Femsa
SAB
de
C.V.
2.750
01/22/30
596,025‌
1,000,000
ConAgra
Brands,
Inc
4.300
05/01/24
986,486‌
450,000
ConAgra
Brands,
Inc
4.600
11/01/25
439,860‌
500,000
ConAgra
Brands,
Inc
1.375
11/01/27
423,414‌
100,000
ConAgra
Brands,
Inc
7.000
10/01/28
106,685‌
1,575,000
ConAgra
Brands,
Inc
4.850
11/01/28
1,535,889‌
750,000
ConAgra
Brands,
Inc
5.300
11/01/38
720,650‌
750,000
ConAgra
Brands,
Inc
5.400
11/01/48
714,600‌
100,000
Constellation
Brands,
Inc
4.400
11/15/25
97,928‌
51
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOOD,
BEVERAGE
&
TOBACCO—continued
$
750,000
Constellation
Brands,
Inc
3.700
%
12/06/26
$
713,455‌
300,000
Constellation
Brands,
Inc
3.500
05/09/27
283,853‌
1,000,000
Constellation
Brands,
Inc
4.350
05/09/27
975,115‌
700,000
Constellation
Brands,
Inc
3.600
02/15/28
655,601‌
300,000
Constellation
Brands,
Inc
4.650
11/15/28
294,186‌
1,000,000
Constellation
Brands,
Inc
3.150
08/01/29
901,365‌
100,000
Constellation
Brands,
Inc
2.875
05/01/30
86,747‌
425,000
Constellation
Brands,
Inc
2.250
08/01/31
347,301‌
1,000,000
Constellation
Brands,
Inc
4.750
05/09/32
970,594‌
400,000
Constellation
Brands,
Inc
4.900
05/01/33
393,015‌
300,000
Constellation
Brands,
Inc
4.100
02/15/48
244,168‌
300,000
Constellation
Brands,
Inc
5.250
11/15/48
287,239‌
1,250,000
Constellation
Brands,
Inc
3.750
05/01/50
983,148‌
750,000
Diageo
Capital
plc
2.125
10/24/24
717,316‌
500,000
Diageo
Capital
plc
1.375
09/29/25
459,913‌
750,000
Diageo
Capital
plc
5.300
10/24/27
761,980‌
425,000
Diageo
Capital
plc
3.875
05/18/28
406,257‌
1,033,000
Diageo
Capital
plc
2.000
04/29/30
870,520‌
1,900,000
Diageo
Capital
plc
2.125
04/29/32
1,543,710‌
425,000
Diageo
Capital
plc
5.500
01/24/33
449,357‌
200,000
Diageo
Capital
plc
5.875
09/30/36
214,650‌
400,000
Diageo
Capital
plc
3.875
04/29/43
338,054‌
100,000
Flowers
Foods,
Inc
3.500
10/01/26
93,819‌
400,000
Flowers
Foods,
Inc
2.400
03/15/31
326,343‌
150,000
General
Mills,
Inc
4.000
04/17/25
146,179‌
800,000
General
Mills,
Inc
3.200
02/10/27
755,146‌
2,300,000
General
Mills,
Inc
4.200
04/17/28
2,232,225‌
100,000
General
Mills,
Inc
2.875
04/15/30
88,805‌
1,000,000
General
Mills,
Inc
2.250
10/14/31
820,173‌
175,000
General
Mills,
Inc
4.950
03/29/33
173,437‌
951,000
General
Mills,
Inc
3.000
02/01/51
671,588‌
300,000
Hershey
Co
2.050
11/15/24
287,880‌
500,000
Hershey
Co
0.900
06/01/25
460,393‌
750,000
Hershey
Co
4.250
05/04/28
742,061‌
300,000
Hershey
Co
2.450
11/15/29
263,162‌
500,000
Hershey
Co
1.700
06/01/30
414,782‌
150,000
Hershey
Co
4.500
05/04/33
148,959‌
300,000
Hershey
Co
3.375
08/15/46
228,939‌
300,000
Hershey
Co
3.125
11/15/49
220,895‌
100,000
Hershey
Co
2.650
06/01/50
67,347‌
1,500,000
Hormel
Foods
Corp
1.700
06/03/28
1,302,183‌
1,500,000
Hormel
Foods
Corp
1.800
06/11/30
1,251,935‌
300,000
Ingredion,
Inc
3.200
10/01/26
280,091‌
750,000
Ingredion,
Inc
3.900
06/01/50
555,493‌
425,000
J
M
Smucker
Co
2.125
03/15/32
340,741‌
550,000
J
M
Smucker
Co
2.750
09/15/41
384,493‌
3,000,000
g
JBS
USA
LUX
S.A.
5.125
02/01/28
2,880,804‌
3,000,000
g
JBS
USA
LUX
S.A.
5.750
04/01/33
2,819,859‌
2,000,000
g
JBS
USA
LUX
S.A.
6.500
12/01/52
1,895,402‌
1,475,000
JM
Smucker
Co
3.500
03/15/25
1,425,184‌
200,000
JM
Smucker
Co
3.375
12/15/27
187,061‌
150,000
JM
Smucker
Co
2.375
03/15/30
127,623‌
300,000
JM
Smucker
Co
4.250
03/15/35
272,296‌
300,000
JM
Smucker
Co
4.375
03/15/45
259,825‌
400,000
JM
Smucker
Co
3.550
03/15/50
292,872‌
1,800,000
Kellogg
Co
3.250
04/01/26
1,712,775‌
200,000
Kellogg
Co
3.400
11/15/27
187,273‌
800,000
Kellogg
Co
4.300
05/15/28
772,165‌
275,000
Kellogg
Co
2.100
06/01/30
227,869‌
1,000,000
Kellogg
Co
5.250
03/01/33
1,004,398‌
150,000
Kellogg
Co
4.500
04/01/46
133,175‌
Bond
Index
Fund
June
30,
2023
52
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOOD,
BEVERAGE
&
TOBACCO—continued
$
66,000
Keurig
Dr
Pepper,
Inc
4.417
%
05/25/25
$
64,695‌
200,000
Keurig
Dr
Pepper,
Inc
3.400
11/15/25
191,275‌
200,000
Keurig
Dr
Pepper,
Inc
2.550
09/15/26
183,722‌
2,000,000
Keurig
Dr
Pepper,
Inc
3.950
04/15/29
1,883,613‌
750,000
Keurig
Dr
Pepper,
Inc
3.200
05/01/30
672,504‌
1,500,000
Keurig
Dr
Pepper,
Inc
2.250
03/15/31
1,233,831‌
2,000,000
Keurig
Dr
Pepper,
Inc
4.050
04/15/32
1,858,453‌
500,000
Keurig
Dr
Pepper,
Inc
4.420
12/15/46
429,287‌
1,500,000
Keurig
Dr
Pepper,
Inc
3.350
03/15/51
1,070,620‌
500,000
Keurig
Dr
Pepper,
Inc
4.500
04/15/52
440,587‌
1,500,000
Kraft
Heinz
Foods
Co
3.000
06/01/26
1,415,373‌
6,000,000
Kraft
Heinz
Foods
Co
3.875
05/15/27
5,760,696‌
1,000,000
Kraft
Heinz
Foods
Co
5.200
07/15/45
951,831‌
4,000,000
Kraft
Heinz
Foods
Co
4.875
10/01/49
3,649,864‌
250,000
McCormick
&
Co,
Inc
3.150
08/15/24
242,750‌
625,000
McCormick
&
Co,
Inc
0.900
02/15/26
557,163‌
250,000
McCormick
&
Co,
Inc
3.400
08/15/27
234,079‌
500,000
McCormick
&
Co,
Inc
2.500
04/15/30
422,951‌
325,000
McCormick
&
Co,
Inc
1.850
02/15/31
257,125‌
1,000,000
McCormick
&
Co,
Inc
4.950
04/15/33
981,577‌
400,000
McCormick
&
Co,
Inc
4.200
08/15/47
330,166‌
925,000
Mead
Johnson
Nutrition
Co
4.125
11/15/25
902,223‌
350,000
Mead
Johnson
Nutrition
Co
4.600
06/01/44
316,144‌
1,025,000
Molson
Coors
Brewing
Co
3.000
07/15/26
957,449‌
525,000
Molson
Coors
Brewing
Co
5.000
05/01/42
486,161‌
1,550,000
Molson
Coors
Brewing
Co
4.200
07/15/46
1,283,476‌
1,000,000
Mondelez
International,
Inc
1.500
05/04/25
932,002‌
1,500,000
Mondelez
International,
Inc
2.625
03/17/27
1,384,711‌
356,000
Mondelez
International,
Inc
2.750
04/13/30
312,513‌
400,000
Mondelez
International,
Inc
1.500
02/04/31
314,161‌
725,000
e
Mondelez
International,
Inc
1.875
10/15/32
566,235‌
1,200,000
Mondelez
International,
Inc
2.625
09/04/50
778,361‌
525,000
PepsiCo,
Inc
2.750
04/30/25
502,874‌
425,000
PepsiCo,
Inc
3.500
07/17/25
413,277‌
275,000
PepsiCo,
Inc
2.850
02/24/26
261,977‌
1,300,000
PepsiCo,
Inc
2.375
10/06/26
1,219,290‌
150,000
PepsiCo,
Inc
2.625
03/19/27
139,751‌
2,000,000
PepsiCo,
Inc
3.600
02/18/28
1,924,565‌
2,500,000
e
PepsiCo,
Inc
4.450
05/15/28
2,498,414‌
500,000
PepsiCo,
Inc
2.750
03/19/30
449,687‌
2,275,000
PepsiCo,
Inc
1.625
05/01/30
1,890,495‌
2,000,000
PepsiCo,
Inc
1.400
02/25/31
1,609,488‌
2,000,000
PepsiCo,
Inc
1.950
10/21/31
1,654,734‌
1,100,000
PepsiCo,
Inc
3.900
07/18/32
1,057,535‌
3,000,000
e
PepsiCo,
Inc
4.450
02/15/33
3,024,114‌
575,000
PepsiCo,
Inc
2.625
10/21/41
433,363‌
750,000
PepsiCo,
Inc
2.875
10/15/49
563,248‌
1,000,000
PepsiCo,
Inc
2
.750
10/21/51
717,425‌
1,000,000
PepsiCo,
Inc
4.200
07/18/52
931,266‌
2,500,000
PepsiCo,
Inc
4.650
02/15/53
2,518,046‌
600,000
Philip
Morris
International,
Inc
3.250
11/10/24
582,719‌
500,000
Philip
Morris
International,
Inc
1.500
05/01/25
467,624‌
500,000
Philip
Morris
International,
Inc
3.375
08/11/25
481,619‌
700,000
Philip
Morris
International,
Inc
2.750
02/25/26
657,978‌
1,000,000
Philip
Morris
International,
Inc
0.875
05/01/26
891,943‌
1,500,000
Philip
Morris
International,
Inc
5.125
11/17/27
1,504,590‌
2,500,000
Philip
Morris
International,
Inc
4.875
02/15/28
2,461,802‌
1,500,000
Philip
Morris
International,
Inc
3.125
03/02/28
1,379,684‌
1,450,000
Philip
Morris
International,
Inc
3.375
08/15/29
1,310,177‌
1,500,000
Philip
Morris
International,
Inc
5.625
11/17/29
1,528,400‌
2,000,000
Philip
Morris
International,
Inc
5.125
02/15/30
1,977,486‌
53
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOOD,
BEVERAGE
&
TOBACCO—continued
$
450,000
Philip
Morris
International,
Inc
2.100
%
05/01/30
$
372,348‌
1,000,000
Philip
Morris
International,
Inc
1.750
11/01/30
790,009‌
1,500,000
Philip
Morris
International,
Inc
5.750
11/17/32
1,536,113‌
2,500,000
Philip
Morris
International,
Inc
5.375
02/15/33
2,494,492‌
400,000
Philip
Morris
International,
Inc
6.375
05/16/38
436,778‌
225,000
Philip
Morris
International,
Inc
4.375
11/15/41
192,274‌
200,000
Philip
Morris
International,
Inc
4.500
03/20/42
172,391‌
275,000
Philip
Morris
International,
Inc
3.875
08/21/42
217,442‌
300,000
Philip
Morris
International,
Inc
4.125
03/04/43
244,914‌
200,000
Philip
Morris
International,
Inc
4.875
11/15/43
178,782‌
2,000,000
Philip
Morris
International,
Inc
4.250
11/10/44
1,663,860‌
2,000,000
Pilgrim's
Pride
Corp
6.250
07/01/33
1,937,184‌
550,000
Reynolds
American,
Inc
4.450
06/12/25
534,457‌
750,000
Reynolds
American,
Inc
5.700
08/15/35
704,877‌
65,000
Reynolds
American,
Inc
7.250
06/15/37
68,027‌
200,000
Reynolds
American,
Inc
6.150
09/15/43
192,397‌
1,775,000
Reynolds
American,
Inc
5.850
08/15/45
1,578,516‌
750,000
Tyson
Foods,
Inc
3.950
08/15/24
736,121‌
500,000
Tyson
Foods,
Inc
4.000
03/01/26
483,153‌
1,150,000
Tyson
Foods,
Inc
3.550
06/02/27
1,080,145‌
500,000
Tyson
Foods,
Inc
4.350
03/01/29
475,706‌
500,000
Tyson
Foods,
Inc
5.150
08/15/44
452,382‌
300,000
Tyson
Foods,
Inc
4.550
06/02/47
249,885‌
1,700,000
Tyson
Foods,
Inc
5.100
09/28/48
1,543,930‌
1,100,000
Unilever
Capital
Corp
2.600
05/05/24
1,073,826‌
500,000
Unilever
Capital
Corp
3.375
03/22/25
483,243‌
225,000
Unilever
Capital
Corp
2.000
07/28/26
207,629‌
800,000
Unilever
Capital
Corp
2.900
05/05/27
747,355‌
1,150,000
Unilever
Capital
Corp
3.500
03/22/28
1,098,951‌
430,000
Unilever
Capital
Corp
5.900
11/15/32
469,558‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
235,767,193‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
1.4%
275,000
Abbott
Laboratories
2.950
03/15/25
266,108‌
1,708,000
Abbott
Laboratories
3.750
11/30/26
1,665,214‌
625,000
Abbott
Laboratories
1.150
01/30/28
540,892‌
200,000
Abbott
Laboratories
1.400
06/30/30
164,517‌
2,750,000
Abbott
Laboratories
4.750
11/30/36
2,760,851‌
3,450,000
Abbott
Laboratories
4.900
11/30/46
3,483,220‌
500,000
Adventist
Health
System
2.952
03/01/29
437,599‌
1,000,000
Adventist
Health
System
5.430
03/01/32
991,349‌
500,000
Adventist
Health
System
3.630
03/01/49
372,053‌
200,000
Advocate
Health
&
Hospitals
Corp
3.829
08/15/28
191,121‌
750,000
Advocate
Health
&
Hospitals
Corp
2.211
06/15/30
628,612‌
100,000
Advocate
Health
&
Hospitals
Corp
4.272
08/15/48
88,109‌
600,000
Advocate
Health
&
Hospitals
Corp
3.387
10/15/49
448,049‌
500,000
Advocate
Health
&
Hospitals
Corp
3.008
06/15/50
342,146‌
1,500,000
AHS
Hospital
Corp
2.780
07/01/51
985,399‌
200,000
Allina
Health
System
3.887
04/15/49
161,566‌
520,000
Allina
Health
System
2.902
11/15/51
338,671‌
400,000
AmerisourceBergen
Corp
3.400
05/15/24
389,624‌
700,000
AmerisourceBergen
Corp
3.250
03/01/25
671,666‌
200,000
AmerisourceBergen
Corp
3.450
12/15/27
187,246‌
1,000,000
AmerisourceBergen
Corp
2.800
05/15/30
867,819‌
1,000,000
AmerisourceBergen
Corp
2.700
03/15/31
850,329‌
700,000
AmerisourceBergen
Corp
4.300
12/15/47
597,422‌
1,625,000
Anthem,
Inc
3.350
12/01/24
1,571,176‌
1,500,000
Anthem,
Inc
2.375
01/15/25
1,425,856‌
1,000,000
Anthem,
Inc
1.500
03/15/26
904,226‌
850,000
Anthem,
Inc
3.650
12/01/27
802,498‌
1,225,000
Anthem,
Inc
4.101
03/01/28
1,175,829‌
Bond
Index
Fund
June
30,
2023
54
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HEALTH
CARE
EQUIPMENT
&
SERVICES—continued
$
500,000
Anthem,
Inc
2.875
%
09/15/29
$
440,603‌
1,500,000
Anthem,
Inc
2.250
05/15/30
1,256,504‌
1,000,000
Anthem,
Inc
2.550
03/15/31
840,217‌
1,150,000
Anthem,
Inc
4.625
05/15/42
1,033,517‌
125,000
Anthem,
Inc
4.650
01/15/43
114,199‌
500,000
Anthem,
Inc
5.100
01/15/44
474,008‌
425,000
Anthem,
Inc
4.650
08/15/44
381,620‌
625,000
Anthem,
Inc
4.375
12/01/47
544,750‌
1,800,000
Anthem,
Inc
4.550
03/01/48
1,579,790‌
500,000
Anthem,
Inc
3.700
09/15/49
387,541‌
650,000
Anthem,
Inc
3.125
05/15/50
453,213‌
425,000
Anthem,
Inc
3.600
03/15/51
324,977‌
1,000,000
Ascension
Health
2.532
11/15/29
859,981‌
1,000,000
Ascension
Health
3.106
11/15/39
781,848‌
875,000
Ascension
Health
3.945
11/15/46
734,013‌
200,000
Ascension
Health
4.847
11/15/53
194,920‌
500,000
Banner
Health
2.338
01/01/30
425,431‌
750,000
Banner
Health
1.897
01/01/31
605,736‌
750,000
Banner
Health
2.913
01/01/51
503,164‌
1,000,000
Baptist
Health
South
Florida
Obligated
Group
3.115
11/15/71
597,192‌
1,000,000
Baptist
Healthcare
System
Obligated
Group
3.540
08/15/50
740,102‌
475,000
Baxter
International,
Inc
2.600
08/15/26
436,204‌
2,000,000
Baxter
International,
Inc
1.915
02/01/27
1,776,428‌
1,350,000
Baxter
International,
Inc
2.272
12/01/28
1,157,133‌
2,000,000
Baxter
International,
Inc
1.730
04/01/31
1,542,943‌
1,150,000
Baxter
International,
Inc
2.539
02/01/32
931,526‌
300,000
Baxter
International,
Inc
3.500
08/15/46
207,815‌
1,000,000
Baxter
International,
Inc
3.132
12/01/51
659,595‌
1,500,000
Baylor
Scott
&
White
Holdings
1.777
11/15/30
1,192,857‌
290,000
Baylor
Scott
&
White
Holdings
4.185
11/15/45
250,803‌
200,000
Baylor
Scott
&
White
Holdings
3.967
11/15/46
166,232‌
1,000,000
Baylor
Scott
&
White
Holdings
2.839
11/15/50
670,718‌
635,000
Becton
Dickinson
&
Co
3.363
06/06/24
621,171‌
165,000
Becton
Dickinson
&
Co
3.734
12/15/24
160,183‌
1,277,000
Becton
Dickinson
&
Co
3.700
06/06/27
1,214,140‌
675,000
Becton
Dickinson
&
Co
2.823
05/20/30
590,351‌
343,000
Becton
Dickinson
&
Co
4.685
12/15/44
310,958‌
1,000,000
Becton
Dickinson
&
Co
4.669
06/06/47
918,892‌
447,000
Becton
Dickinson
&
Co
3.794
05/20/50
353,149‌
1,000,000
Becton
Dickinson
and
Co
4
.693
02/13/28
986,422‌
1,500,000
Becton
Dickinson
and
Co
1.957
02/11/31
1,215,279‌
1,000,000
Becton
Dickinson
and
Co
4.298
08/22/32
948,561‌
235,000
Beth
Israel
Lahey
Health,
Inc
3.080
07/01/51
151,408‌
200,000
Bio-Rad
Laboratories,
Inc
3.300
03/15/27
186,067‌
525,000
Bio-Rad
Laboratories,
Inc
3.700
03/15/32
461,089‌
500,000
Bon
Secours
Mercy
Health,
Inc
3.464
06/01/30
448,925‌
500,000
Bon
Secours
Mercy
Health,
Inc
2.095
06/01/31
398,948‌
500,000
Bon
Secours
Mercy
Health,
Inc
3.205
06/01/50
348,689‌
2,500,000
Boston
Scientific
Corp
2.650
06/01/30
2,178,175‌
343,000
Boston
Scientific
Corp
4.550
03/01/39
318,990‌
256,000
Boston
Scientific
Corp
4.700
03/01/49
239,783‌
650,000
Cardinal
Health,
Inc
3.079
06/15/24
632,982‌
100,000
Cardinal
Health,
Inc
3.500
11/15/24
96,720‌
200,000
Cardinal
Health,
Inc
3.750
09/15/25
192,638‌
1,475,000
Cardinal
Health,
Inc
3.410
06/15/27
1,390,266‌
100,000
Cardinal
Health,
Inc
4.600
03/15/43
83,879‌
200,000
Cardinal
Health,
Inc
4.500
11/15/44
163,137‌
200,000
Cardinal
Health,
Inc
4.900
09/15/45
175,362‌
500,000
Cardinal
Health,
Inc
4.368
06/15/47
412,676‌
2,000,000
Centene
Corp
2.450
07/15/28
1,709,512‌
2,000,000
Centene
Corp
3.000
10/15/30
1,666,594‌
55
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HEALTH
CARE
EQUIPMENT
&
SERVICES—continued
$
2,000,000
Centene
Corp
2.500
%
03/01/31
$
1,594,940‌
2,000,000
e
Centene
Corp
2.625
08/01/31
1,593,760‌
100,000
Children's
Hospital
Corp
4.115
01/01/47
86,571‌
1,000,000
Children's
Hospital
Corp
2.585
02/01/50
640,744‌
1,000,000
Children's
Hospital
of
Philadelphia
2
.704
07/01/50
653,655‌
200,000
CHRISTUS
Health
4.341
07/01/28
189,537‌
300,000
Cigna
Corp
3.500
06/15/24
293,885‌
900,000
Cigna
Corp
3.250
04/15/25
861,848‌
2,000,000
Cigna
Corp
4.125
11/15/25
1,947,002‌
150,000
Cigna
Corp
4.500
02/25/26
146,736‌
1,000,000
Cigna
Corp
1.250
03/15/26
898,067‌
4,475,000
Cigna
Corp
3.400
03/01/27
4,215,591‌
300,000
Cigna
Corp
3.050
10/15/27
276,621‌
2,000,000
Cigna
Corp
4.375
10/15/28
1,933,904‌
250,000
Cigna
Corp
2.400
03/15/30
212,406‌
550,000
Cigna
Corp
2.375
03/15/31
461,110‌
1,700,000
Cigna
Corp
4.800
08/15/38
1,604,822‌
225,000
Cigna
Corp
3.200
03/15/40
172,964‌
93,000
Cigna
Corp
6.125
11/15/41
99,004‌
975,000
Cigna
Corp
4.800
07/15/46
894,465‌
1,150,000
Cigna
Corp
3.875
10/15/47
907,296‌
2,450,000
Cigna
Corp
4.900
12/15/48
2,280,137‌
750,000
Cigna
Corp
3.400
03/15/50
548,072‌
1,100,000
Cigna
Corp
3.400
03/15/51
801,831‌
600,000
City
of
Hope
4.378
08/15/48
508,665‌
750,000
Community
Health
Network,
Inc
3.099
05/01/50
485,613‌
900,000
CVS
Health
Corp
3.375
08/12/24
877,154‌
250,000
CVS
Health
Corp
2.625
08/15/24
241,780‌
1,969,000
CVS
Health
Corp
3.875
07/20/25
1,913,656‌
2,550,000
CVS
Health
Corp
2.875
06/01/26
2,396,702‌
1,250,000
CVS
Health
Corp
3.000
08/15/26
1,171,782‌
9,500,000
CVS
Health
Corp
1.300
08/21/27
8,175,568‌
1,000,000
CVS
Health
Corp
5.000
01/30/29
990,362‌
275,000
CVS
Health
Corp
3.250
08/15/29
246,957‌
2,000,000
CVS
Health
Corp
5.125
02/21/30
1,986,191‌
1,825,000
CVS
Health
Corp
1.750
08/21/30
1,456,229‌
1,000,000
CVS
Health
Corp
5.250
01/30/31
996,862‌
1,525,000
CVS
Health
Corp
1.875
02/28/31
1,211,234‌
1,000,000
CVS
Health
Corp
2.125
09/15/31
803,020‌
2,000,000
CVS
Health
Corp
5.250
02/21/33
1,992,232‌
850,000
CVS
Health
Corp
5.300
06/01/33
848,680‌
4,100,000
CVS
Health
Corp
4.780
03/25/38
3,783,773‌
850,000
CVS
Health
Corp
2.700
08/21/40
593,328‌
400,000
CVS
Health
Corp
5.300
12/05/43
382,588‌
1,800,000
CVS
Health
Corp
5.125
07/20/45
1,665,237‌
8,525,000
CVS
Health
Corp
5.050
03/25/48
7,857,857‌
2,000,000
CVS
Health
Corp
5.625
02/21/53
1,988,261‌
1,500,000
CVS
Health
Corp
5.875
06/01/53
1,538,178‌
1,500,000
CVS
Health
Corp
6.000
06/01/63
1,543,537‌
100,000
Dartmouth-Hitchcock
Health
4.178
08/01/48
79,884‌
1,000,000
DENTSPLY
SIRONA,
Inc
3.250
06/01/30
865,190‌
200,000
Dignity
Health
5.267
11/01/64
187,726‌
400,000
Duke
University
Health
System,
Inc
3.920
06/01/47
334,178‌
400,000
Edwards
Lifesciences
Corp
4.300
06/15/28
386,614‌
225,000
Elevance
Health,
Inc
3.500
08/15/24
219,206‌
50,000
Elevance
Health,
Inc
4.100
05/15/32
46,592‌
500,000
Elevance
Health,
Inc
5.500
10/15/32
514,006‌
1,000,000
Elevance
Health,
Inc
4
.750
02/15/33
971,255‌
600,000
Elevance
Health,
Inc
4.550
05/15/52
535,921‌
1,750,000
Elevance
Health,
Inc
6.100
10/15/52
1,917,082‌
450,000
Elevance
Health,
Inc
5.125
02/15/53
436,378‌
Bond
Index
Fund
June
30,
2023
56
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HEALTH
CARE
EQUIPMENT
&
SERVICES—continued
$
3,000,000
GE
HealthCare
Technologies,
Inc
5.650
%
11/15/27
$
3,036,756‌
1,000,000
GE
HealthCare
Technologies,
Inc
5.857
03/15/30
1,026,332‌
1,500,000
GE
HealthCare
Technologies,
Inc
5.905
11/22/32
1,569,266‌
1,500,000
GE
HealthCare
Technologies,
Inc
6.377
11/22/52
1,668,819‌
750,000
Hackensack
Meridian
Health,
Inc
2.675
09/01/41
534,244‌
200,000
Hackensack
Meridian
Health,
Inc
4.211
07/01/48
173,338‌
750,000
Hackensack
Meridian
Health,
Inc
2.875
09/01/50
503,343‌
200,000
Hackensack
Meridian
Health,
Inc
4.500
07/01/57
178,537‌
685,000
Hartford
HealthCare
Corp
3.447
07/01/54
480,635‌
2,000,000
HCA,
Inc
4.500
02/15/27
1,929,337‌
2,000,000
g
HCA,
Inc
3.125
03/15/27
1,836,676‌
3,000,000
HCA,
Inc
5.200
06/01/28
2,975,602‌
2,500,000
HCA,
Inc
5.625
09/01/28
2,501,911‌
1,000,000
g
HCA,
Inc
3.375
03/15/29
889,153‌
1,500,000
HCA,
Inc
4.125
06/15/29
1,388,083‌
2,000,000
HCA,
Inc
3.500
09/01/30
1,753,099‌
2,000,000
HCA,
Inc
2.375
07/15/31
1,599,474‌
2,000,000
g
HCA,
Inc
3.625
03/15/32
1,736,017‌
2,000,000
HCA,
Inc
5.500
06/01/33
1,996,603‌
225,000
HCA,
Inc
5.125
06/15/39
208,728‌
125,000
g
HCA,
Inc
4.375
03/15/42
103,263‌
875,000
HCA,
Inc
5.500
06/15/47
824,154‌
2,500,000
HCA,
Inc
5.250
06/15/49
2,255,826‌
1,000,000
HCA,
Inc
3.500
07/15/51
691,843‌
1,700,000
g
HCA,
Inc
4.625
03/15/52
1,396,970‌
500,000
HCA,
Inc
5.900
06/01/53
495,324‌
1,000,000
Hoag
Memorial
Hospital
Presbyterian
3.803
07/15/52
807,978‌
300,000
Humana,
Inc
3.850
10/01/24
292,977‌
2,500,000
Humana,
Inc
1.350
02/03/27
2,175,188‌
600,000
Humana,
Inc
3.950
03/15/27
573,359‌
500,000
Humana,
Inc
5.750
03/01/28
508,746‌
500,000
Humana,
Inc
3.700
03/23/29
457,938‌
175,000
Humana,
Inc
3.125
08/15/29
154,477‌
325,000
Humana,
Inc
2.150
02/03/32
256,022‌
500,000
Humana,
Inc
5.875
03/01/33
519,601‌
200,000
Humana,
Inc
4.625
12/01/42
176,290‌
300,000
Humana,
Inc
4.950
10/01/44
274,475‌
600,000
Humana,
Inc
4.800
03/15/47
542,729‌
500,000
Humana,
Inc
3.950
08/15/49
401,012‌
1,500,000
Humana,
Inc
5.500
03/15/53
1,493,899‌
200,000
Indiana
University
Health,
Inc
Obligated
Group
3
.970
11/01/48
168,479‌
1,500,000
Indiana
University
Health,
Inc
Obligated
Group
2.852
11/01/51
1,006,137‌
1,000,000
Inova
Health
System
Foundation
4.068
05/15/52
854,230‌
760,000
Integris
Baptist
Medical
Center,
Inc
3
.875
08/15/50
573,049‌
350,000
Johns
Hopkins
Health
System
Corp
3.837
05/15/46
287,944‌
500,000
Kaiser
Foundation
Hospitals
3.150
05/01/27
470,168‌
1,400,000
Kaiser
Foundation
Hospitals
2.810
06/01/41
1,028,412‌
100,000
Kaiser
Foundation
Hospitals
4.875
04/01/42
96,604‌
1,265,000
Kaiser
Foundation
Hospitals
4.150
05/01/47
1,104,728‌
1,000,000
Kaiser
Foundation
Hospitals
3.266
11/01/49
738,325‌
1,000,000
Kaiser
Foundation
Hospitals
3.002
06/01/51
700,047‌
755,000
Koninklijke
Philips
NV
5.000
03/15/42
692,620‌
200,000
Laboratory
Corp
of
America
Holdings
3.250
09/01/24
193,653‌
500,000
Laboratory
Corp
of
America
Holdings
2.300
12/01/24
474,780‌
100,000
Laboratory
Corp
of
America
Holdings
3.600
02/01/25
96,616‌
1,000,000
Laboratory
Corp
of
America
Holdings
1.550
06/01/26
893,217‌
300,000
Laboratory
Corp
of
America
Holdings
3.600
09/01/27
283,569‌
500,000
Laboratory
Corp
of
America
Holdings
2.950
12/01/29
438,141‌
1,000,000
Laboratory
Corp
of
America
Holdings
2.700
06/01/31
843,541‌
800,000
Laboratory
Corp
of
America
Holdings
4.700
02/01/45
692,874‌
200,000
Mayo
Clinic
4.000
11/15/47
169,365‌
57
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HEALTH
CARE
EQUIPMENT
&
SERVICES—continued
$
200,000
Mayo
Clinic
4.128
%
11/15/52
$
171,981‌
2,500,000
Mayo
Clinic
3.196
11/15/61
1,692,733‌
1,000,000
McKesson
Corp
0.900
12/03/25
896,139‌
500,000
McKesson
Corp
1.300
08/15/26
444,068‌
1,000,000
McKesson
Corp
4.900
07/15/28
993,418‌
350,000
McKesson
Corp
5.100
07/15/33
351,240‌
200,000
McLaren
Health
Care
Corp
4.386
05/15/48
176,752‌
2,777,000
Medtronic,
Inc
4.375
03/15/35
2,668,129‌
1,074,000
Medtronic,
Inc
4.625
03/15/45
1,044,958‌
500,000
Memorial
Health
Services
3.447
11/01/49
366,741‌
1,000,000
Memorial
Sloan-Kettering
Cancer
Center
2.955
01/01/50
693,721‌
200,000
Memorial
Sloan-Kettering
Cancer
Center
4.125
07/01/52
169,919‌
500,000
Memorial
Sloan-Kettering
Cancer
Center
4.200
07/01/55
424,767‌
200,000
Mercy
Health
4.302
07/01/28
190,685‌
1,000,000
Methodist
Hospital
2.705
12/01/50
648,430‌
500,000
Montefiore
Obligated
Group
5.246
11/01/48
377,252‌
750,000
Montefiore
Obligated
Group
4.287
09/01/50
467,822‌
1,000,000
Mount
Nittany
Medical
Center
Obligated
Group
3
.799
11/15/52
767,279‌
100,000
Mount
Sinai
Hospitals
Group,
Inc
3.981
07/01/48
79,712‌
600,000
Mount
Sinai
Hospitals
Group,
Inc
3.737
07/01/49
462,022‌
895,000
Mount
Sinai
Hospitals
Group,
Inc
3.391
07/01/50
608,330‌
1,000,000
MultiCare
Health
System
2.803
08/15/50
607,048‌
1,000,000
Nationwide
Children's
Hospital,
Inc
4.556
11/01/52
924,743‌
1,000,000
New
York
and
Presbyterian
Hospital
2.256
08/01/40
672,507‌
300,000
New
York
and
Presbyterian
Hospital
4.024
08/01/45
254,124‌
150,000
New
York
and
Presbyterian
Hospital
4.063
08/01/56
126,482‌
1,000,000
New
York
and
Presbyterian
Hospital
2.606
08/01/60
581,630‌
500,000
New
York
and
Presbyterian
Hospital
3.954
08/01/19
361,804‌
140,000
Northwell
Healthcare,
Inc
3.979
11/01/46
109,410‌
675,000
Northwell
Healthcare,
Inc
4.260
11/01/47
553,957‌
500,000
Northwell
Healthcare,
Inc
3.809
11/01/49
374,990‌
1,000,000
NY
Society
for
Relief
of
Ruptured
&
Crippled
Maintaining
Hosp
Special
Surgery
2.667
10/01/50
621,396‌
350,000
NYU
Hospitals
Center
5.750
07/01/43
363,937‌
250,000
NYU
Hospitals
Center
4.368
07/01/47
220,233‌
915,000
NYU
Langone
Hospitals
3.380
07/01/55
652,640‌
1,000,000
OhioHealth
Corp
2.297
11/15/31
816,208‌
750,000
OhioHealth
Corp
3.042
11/15/50
538,390‌
100,000
Orlando
Health
Obligated
Group
4
.089
10/01/48
82,156‌
1,000,000
Orlando
Health
Obligated
Group
3.327
10/01/50
747,029‌
750,000
PeaceHealth
Obligated
Group
1.375
11/15/25
675,794‌
200,000
PeaceHealth
Obligated
Group
4.787
11/15/48
179,593‌
750,000
PeaceHealth
Obligated
Group
3.218
11/15/50
505,856‌
500,000
Piedmont
Healthcare,
Inc
2.044
01/01/32
394,123‌
500,000
Piedmont
Healthcare,
Inc
2.719
01/01/42
345,923‌
1,000,000
Piedmont
Healthcare,
Inc
2.864
01/01/52
644,682‌
200,000
Providence
St.
Joseph
Health
Obligated
Group
2.746
10/01/26
182,681‌
570,000
Providence
St.
Joseph
Health
Obligated
Group
2.532
10/01/29
479,878‌
945,000
Providence
St.
Joseph
Health
Obligated
Group
5.403
10/01/33
932,614‌
100,000
Providence
St.
Joseph
Health
Obligated
Group
3.744
10/01/47
75,127‌
350,000
Providence
St.
Joseph
Health
Obligated
Group
3.930
10/01/48
275,972‌
1,000,000
Providence
St.
Joseph
Health
Obligated
Group
2.700
10/01/51
598,928‌
785,000
Queen's
Health
Systems
4.810
07/01/52
746,718‌
125,000
Quest
Diagnostics,
Inc
3.500
03/30/25
120,505‌
225,000
Quest
Diagnostics,
Inc
3.450
06/01/26
214,343‌
500,000
Quest
Diagnostics,
Inc
4.200
06/30/29
482,731‌
750,000
Quest
Diagnostics,
Inc
2.950
06/30/30
659,489‌
500,000
Quest
Diagnostics,
Inc
2.800
06/30/31
430,381‌
300,000
Quest
Diagnostics,
Inc
4.700
03/30/45
263,496‌
1,500,000
Rady
Children's
Hospital-San
Diego
3.154
08/15/51
1,062,823‌
390,000
Rush
Obligated
Group
3.922
11/15/29
359,373‌
200,000
RWJ
Barnabas
Health,
Inc
3.949
07/01/46
164,688‌
Bond
Index
Fund
June
30,
2023
58
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HEALTH
CARE
EQUIPMENT
&
SERVICES—continued
$
1,000,000
Sharp
HealthCare
2.680
%
08/01/50
$
645,183‌
1,000,000
Smith
&
Nephew
plc
2.032
10/14/30
809,053‌
400,000
SSM
Health
Care
Corp
3.823
06/01/27
373,238‌
500,000
SSM
Health
Care
Corp
4.894
06/01/28
490,577‌
1,620,000
Stanford
Health
Care
3.027
08/15/51
1,125,582‌
475,000
Stryker
Corp
1.150
06/15/25
437,073‌
200,000
Stryker
Corp
3.375
11/01/25
191,380‌
1,600,000
Stryker
Corp
3.500
03/15/26
1,534,867‌
500,000
Stryker
Corp
3.650
03/07/28
475,432‌
600,000
Stryker
Corp
1.950
06/15/30
501,018‌
200,000
Stryker
Corp
4.100
04/01/43
170,908‌
200,000
Stryker
Corp
4.375
05/15/44
174,952‌
550,000
Stryker
Corp
4.625
03/15/46
511,253‌
575,000
Stryker
Corp
2.900
06/15/50
397,598‌
1,500,000
Summa
Health
3.511
11/15/51
1,064,587‌
200,000
Sutter
Health
3.695
08/15/28
185,787‌
1,000,000
Sutter
Health
2.294
08/15/30
826,666‌
750,000
Sutter
Health
5.164
08/15/33
748,231‌
500,000
Sutter
Health
3.161
08/15/40
377,406‌
200,000
Sutter
Health
4.091
08/15/48
165,321‌
500,000
Sutter
Health
3.361
08/15/50
358,843‌
135,000
Sutter
Health
5.547
08/15/53
139,414‌
1,000,000
Texas
Health
Resources
2.328
11/15/50
585,229‌
100,000
Texas
Health
Resources
4.330
11/15/55
87,661‌
2,000,000
Trinity
Health
Corp
2.632
12/01/40
1,420,864‌
300,000
Trinity
Health
Corp
4.125
12/01/45
257,753‌
185,000
Trinity
Health
Corp
3.434
12/01/48
140,891‌
1,000,000
UMass
Memorial
Health
Care
Obligated
Group
5.363
07/01/52
985,188‌
500,000
UnitedHealth
Group,
Inc
3.700
12/15/25
482,591‌
1,000,000
UnitedHealth
Group,
Inc
1.250
01/15/26
913,575‌
3,000,000
UnitedHealth
Group,
Inc
1.150
05/15/26
2,712,914‌
200,000
UnitedHealth
Group,
Inc
3.450
01/15/27
191,607‌
1,500,000
UnitedHealth
Group,
Inc
3.700
05/15/27
1,445,978‌
1,700,000
UnitedHealth
Group,
Inc
2.950
10/15/27
1,577,469‌
2,000,000
UnitedHealth
Group,
Inc
5.250
02/15/28
2,039,051‌
2,375,000
UnitedHealth
Group,
Inc
3.850
06/15/28
2,276,580‌
500,000
UnitedHealth
Group,
Inc
3.875
12/15/28
478,995‌
1,500,000
UnitedHealth
Group,
Inc
4.250
01/15/29
1,457,319‌
1,500,000
UnitedHealth
Group,
Inc
4.000
05/15/29
1,433,483‌
1,000,000
UnitedHealth
Group,
Inc
2.875
08/15/29
898,641‌
1,000,000
UnitedHealth
Group,
Inc
5.300
02/15/30
1,024,506‌
2,200,000
UnitedHealth
Group,
Inc
2.000
05/15/30
1,851,387‌
1,750,000
UnitedHealth
Group,
Inc
2.300
05/15/31
1,479,716‌
800,000
UnitedHealth
Group,
Inc
4.200
05/15/32
763,729‌
1,500,000
UnitedHealth
Group,
Inc
5.350
02/15/33
1,558,658‌
1,500,000
UnitedHealth
Group,
Inc
4.500
04/15/33
1,461,004‌
150,000
UnitedHealth
Group,
Inc
5.800
03/15/36
160,347‌
365,000
UnitedHealth
Group,
Inc
6.625
11/15/37
415,841‌
200,000
UnitedHealth
Group,
Inc
6.875
02/15/38
238,046‌
275,000
UnitedHealth
Group,
Inc
3.500
08/15/39
230,650‌
1,000,000
UnitedHealth
Group,
Inc
2.750
05/15/40
742,872‌
3,000,000
UnitedHealth
Group,
Inc
3.050
05/15/41
2,318,956‌
300,000
UnitedHealth
Group,
Inc
4.375
03/15/42
271,661‌
350,000
UnitedHealth
Group,
Inc
3.950
10/15/42
300,301‌
375,000
UnitedHealth
Group,
Inc
4.250
03/15/43
341,136‌
800,000
UnitedHealth
Group,
Inc
4.200
01/15/47
704,248‌
300,000
UnitedHealth
Group,
Inc
4.250
04/15/47
264,430‌
500,000
UnitedHealth
Group,
Inc
3.750
10/15/47
411,513‌
1,700,000
UnitedHealth
Group,
Inc
4.250
06/15/48
1,498,419‌
1,000,000
UnitedHealth
Group,
Inc
3.700
08/15/49
803,216‌
4,000,000
UnitedHealth
Group,
Inc
2.900
05/15/50
2,787,942‌
59
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HEALTH
CARE
EQUIPMENT
&
SERVICES—continued
$
3,000,000
UnitedHealth
Group,
Inc
3.250
%
05/15/51
$
2,237,718‌
450,000
UnitedHealth
Group,
Inc
4.750
05/15/52
426,893‌
1,500,000
UnitedHealth
Group,
Inc
5.875
02/15/53
1,666,093‌
1,500,000
UnitedHealth
Group,
Inc
5.050
04/15/53
1,490,921‌
1,250,000
UnitedHealth
Group,
Inc
3.875
08/15/59
1,016,048‌
1,000,000
UnitedHealth
Group,
Inc
3.125
05/15/60
696,870‌
500,000
UnitedHealth
Group,
Inc
4.950
05/15/62
480,684‌
1,000,000
UnitedHealth
Group,
Inc
6.050
02/15/63
1,130,775‌
1,500,000
UnitedHealth
Group,
Inc
5.200
04/15/63
1,500,555‌
1,000,000
Universal
Health
Services,
Inc
1.650
09/01/26
874,175‌
1,000,000
Universal
Health
Services,
Inc
2.650
01/15/32
788,258‌
500,000
UPMC
5.035
05/15/33
488,102‌
500,000
UPMC
5.377
05/15/43
490,225‌
370,000
WakeMed
3.286
10/01/52
259,468‌
200,000
West
Virginia
United
Health
System
Obligated
Group
3.129
06/01/50
133,615‌
500,000
Willis-Knighton
Medical
Center
3.065
03/01/51
315,686‌
600,000
Zimmer
Biomet
Holdings,
Inc
1.450
11/22/24
564,987‌
225,000
Zimmer
Biomet
Holdings,
Inc
3.050
01/15/26
212,533‌
1,500,000
Zimmer
Biomet
Holdings,
Inc
2.600
11/24/31
1,244,437‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
292,645,941‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0.2%
500,000
Church
&
Dwight
Co,
Inc
3.150
08/01/27
471,088‌
250,000
Church
&
Dwight
Co,
Inc
2.300
12/15/31
206,184‌
500,000
Church
&
Dwight
Co,
Inc
5.600
11/15/32
528,415‌
100,000
Church
&
Dwight
Co,
Inc
3.950
08/01/47
82,344‌
725,000
Church
&
Dwight
Co,
Inc
5.000
06/15/52
716,785‌
300,000
Clorox
Co
3.100
10/01/27
277,778‌
500,000
Clorox
Co
3.900
05/15/28
476,972‌
750,000
Clorox
Co
4.400
05/01/29
729,045‌
1,000,000
Clorox
Co
1.800
05/15/30
817,898‌
375,000
Clorox
Co
4.600
05/01/32
366,295‌
300,000
Colgate-Palmolive
Co
3.250
03/15/24
296,956‌
1,000,000
Colgate-Palmolive
Co
3.100
08/15/27
951,748‌
1,000,000
Colgate-Palmolive
Co
4.600
03/01/28
1,005,039‌
60,000
Colgate-Palmolive
Co
6.450
06/16/28
63,531‌
225,000
Colgate-Palmolive
Co
3.250
08/15/32
206,634‌
1,000,000
e
Colgate-Palmolive
Co
4.600
03/01/33
1,015,862‌
300,000
Colgate-Palmolive
Co
4.000
08/15/45
270,597‌
550,000
Colgate-Palmolive
Co
3.700
08/01/47
478,617‌
125,000
Estee
Lauder
Cos,
Inc
2.000
12/01/24
119,219‌
450,000
Estee
Lauder
Cos,
Inc
3.150
03/15/27
427,993‌
200,000
Estee
Lauder
Cos,
Inc
2.375
12/01/29
172,921‌
100,000
Estee
Lauder
Cos,
Inc
2.600
04/15/30
87,482‌
1,500,000
Estee
Lauder
Cos,
Inc
1.950
03/15/31
1,231,639‌
750,000
Estee
Lauder
Cos,
Inc
4.650
05/15/33
737,388‌
100,000
Estee
Lauder
Cos,
Inc
6.000
05/15/37
109,437‌
300,000
Estee
Lauder
Cos,
Inc
4.375
06/15/45
265,540‌
375,000
Estee
Lauder
Cos,
Inc
4.150
03/15/47
327,691‌
700,000
Estee
Lauder
Cos,
Inc
3.125
12/01/49
510,778‌
750,000
Estee
Lauder
Cos,
Inc
5.150
05/15/53
763,827‌
1,000,000
GSK
Consumer
Healthcare
Capital
UK
plc
3.125
03/24/25
955,452‌
2,500,000
g
Kenvue,
Inc
5.050
03/22/28
2,519,825‌
1,000,000
g
Kenvue,
Inc
5.000
03/22/30
1,009,687‌
1,750,000
g
Kenvue,
Inc
4.900
03/22/33
1,770,676‌
1,250,000
g
Kenvue,
Inc
5.100
03/22/43
1,270,125‌
1,750,000
g
Kenvue,
Inc
5.050
03/22/53
1,786,117‌
1,000,000
g
Kenvue,
Inc
5.200
03/22/63
1,023,790‌
950,000
Kimberly-Clark
Corp
3.050
08/15/25
912,882‌
200,000
Kimberly-Clark
Corp
1.050
09/15/27
172,621‌
412,000
Kimberly-Clark
Corp
3.950
11/01/28
399,963‌
Bond
Index
Fund
June
30,
2023
60
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HOUSEHOLD
&
PERSONAL
PRODUCTS—continued
$
1,500,000
Kimberly-Clark
Corp
3.200
%
04/25/29
$
1,390,572‌
1,500,000
Kimberly-Clark
Corp
2.000
11/02/31
1,234,901‌
500,000
Kimberly-Clark
Corp
4.500
02/16/33
498,815‌
200,000
Kimberly-Clark
Corp
6.625
08/01/37
234,893‌
725,000
Kimberly-Clark
Corp
3.200
07/30/46
543,210‌
200,000
Kimberly-Clark
Corp
3.900
05/04/47
170,988‌
300,000
e
Kimberly-Clark
Corp
2.875
02/07/50
216,166‌
2,000,000
Procter
&
Gamble
Co
0.550
10/29/25
1,812,268‌
750,000
Procter
&
Gamble
Co
2.700
02/02/26
717,945‌
2,000,000
Procter
&
Gamble
Co
1.000
04/23/26
1,810,082‌
1,750,000
Procter
&
Gamble
Co
2.450
11/03/26
1,636,659‌
1,500,000
Procter
&
Gamble
Co
3.950
01/26/28
1,473,192‌
2,000,000
Procter
&
Gamble
Co
3.000
03/25/30
1,850,537‌
1,150,000
Procter
&
Gamble
Co
1.200
10/29/30
927,217‌
1,500,000
Procter
&
Gamble
Co
1.950
04/23/31
1,273,934‌
1,500,000
e
Procter
&
Gamble
Co
4.050
01/26/33
1,481,082‌
1,000,000
Unilever
Capital
Corp
0.626
08/12/24
947,035‌
450,000
Unilever
Capital
Corp
3.100
07/30/25
431,369‌
1,000,000
Unilever
Capital
Corp
2.125
09/06/29
862,765‌
175,000
Unilever
Capital
Corp
1.375
09/14/30
140,225‌
200,000
Unilever
Capital
Corp
1.750
08/12/31
161,439‌
500,000
Unilever
Capital
Corp
2.625
08/12/51
341,769‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
45,693,904‌
INSURANCE
-
0.8%
700,000
ACE
INA
Holdings,
Inc
3.150
03/15/25
675,680‌
2,325,000
ACE
INA
Holdings,
Inc
3.350
05/03/26
2,233,736‌
150,000
ACE
INA
Holdings,
Inc
4.150
03/13/43
128,651‌
1,600,000
ACE
INA
Holdings,
Inc
4.350
11/03/45
1,448,031‌
500,000
Aegon
NV
5.500
04/11/48
474,975‌
325,000
Aetna,
Inc
3.500
11/15/24
314,834‌
440,000
Aetna,
Inc
6.625
06/15/36
483,438‌
350,000
Aetna,
Inc
4.500
05/15/42
300,269‌
500,000
Aetna,
Inc
4.125
11/15/42
410,456‌
1,050,000
Aetna,
Inc
3.875
08/15/47
818,378‌
2,000,000
Aflac,
Inc
1.125
03/15/26
1,789,979‌
200,000
Aflac,
Inc
2.875
10/15/26
184,675‌
375,000
Aflac,
Inc
3.600
04/01/30
344,027‌
200,000
Aflac,
Inc
4.000
10/15/46
159,262‌
500,000
Aflac,
Inc
4.750
01/15/49
465,537‌
1,000,000
Alleghany
Corp
3.625
05/15/30
928,278‌
200,000
Alleghany
Corp
4
.900
09/15/44
186,063‌
1,000,000
Alleghany
Corp
3.250
08/15/51
713,039‌
300,000
Allied
World
Assurance
Co
Holdings
Ltd
4.350
10/29/25
284,850‌
1,000,000
Allstate
Corp
0.750
12/15/25
895,616‌
275,000
Allstate
Corp
3.280
12/15/26
258,796‌
1,000,000
Allstate
Corp
1.450
12/15/30
775,365‌
600,000
Allstate
Corp
5.250
03/30/33
598,228‌
600,000
Allstate
Corp
4.500
06/15/43
518,810‌
975,000
Allstate
Corp
4.200
12/15/46
796,731‌
250,000
Allstate
Corp
3.850
08/10/49
193,929‌
200,000
Allstate
Corp
5.750
08/15/53
196,814‌
325,000
American
Financial
Group,
Inc
5.250
04/02/30
316,120‌
400,000
American
Financial
Group,
Inc
4.500
06/15/47
326,780‌
2,000,000
American
International
Group,
Inc
2.500
06/30/25
1,883,616‌
1,500,000
e
American
International
Group,
Inc
5.125
03/27/33
1,464,814‌
300,000
American
International
Group,
Inc
4.800
07/10/45
266,555‌
1,500,000
American
International
Group,
Inc
4.750
04/01/48
1,345,472‌
300,000
American
International
Group,
Inc
5.750
04/01/48
291,537‌
1,500,000
American
International
Group,
Inc
4.375
06/30/50
1,266,499‌
200,000
Aon
Corp
4.500
12/15/28
192,431‌
61
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
INSURANCE—continued
$
450,000
Aon
Corp
3.750
%
05/02/29
$
416,545‌
450,000
Aon
Corp
2.800
05/15/30
389,483‌
1,000,000
Aon
Corp
2.050
08/23/31
797,956‌
1,000,000
Aon
Corp
2.600
12/02/31
823,523‌
500,000
Aon
Corp
5.000
09/12/32
493,276‌
750,000
Aon
Corp
5.350
02/28/33
755,464‌
200,000
Aon
Corp
6.250
09/30/40
210,578‌
1,000,000
Aon
Corp
2.900
08/23/51
652,345‌
500,000
Aon
Corp
3.900
02/28/52
392,357‌
300,000
Aon
plc
3.500
06/14/24
293,457‌
1,450,000
Aon
plc
3.875
12/15/25
1,397,521‌
550,000
Aon
plc
4.750
05/15/45
491,672‌
1,050,000
Arch
Capital
Group
Ltd
4.011
12/15/26
1,001,961‌
200,000
Arch
Capital
Group
Ltd
5.031
12/15/46
177,991‌
600,000
Arch
Capital
Group
Ltd
3.635
06/30/50
439,639‌
300,000
Arch
Capital
Group
US,
Inc
5.144
11/01/43
273,356‌
2,000,000
Arthur
J
Gallagher
&
Co
2.400
11/09/31
1,593,484‌
500,000
Arthur
J
Gallagher
&
Co
5.500
03/02/33
500,656‌
125,000
Arthur
J
Gallagher
&
Co
3.500
05/20/51
89,400‌
1,000,000
Arthur
J
Gallagher
&
Co
3.050
03/09/52
637,331‌
50,000
Assurant,
Inc
4.200
09/27/23
49,655‌
300,000
Assurant,
Inc
4.900
03/27/28
285,828‌
500,000
Assurant,
Inc
3.700
02/22/30
429,346‌
7,000
Assurant,
Inc
6.750
02/15/34
7,176‌
137,000
e
Assured
Guaranty
US
Holdings,
Inc
5.000
07/01/24
134,543‌
1,000,000
Assured
Guaranty
US
Holdings,
Inc
3.150
06/15/31
844,937‌
300,000
Assured
Guaranty
US
Holdings,
Inc
3.600
09/15/51
204,908‌
675,000
Athene
Holding
Ltd
4.125
01/12/28
615,658‌
500,000
Athene
Holding
Ltd
6.150
04/03/30
502,212‌
1,000,000
Athene
Holding
Ltd
6.650
02/01/33
1,007,887‌
1,000,000
Athene
Holding
Ltd
3.950
05/25/51
669,308‌
1,000,000
Athene
Holding
Ltd
3.450
05/15/52
608,290‌
1,375,000
AXA
Equitable
Holdings,
Inc
4.350
04/20/28
1,286,788‌
975,000
AXA
Equitable
Holdings,
Inc
5.000
04/20/48
835,352‌
300,000
AXIS
Specialty
Finance
LLC
3.900
07/15/29
272,341‌
250,000
AXIS
Specialty
Finance
LLC
4.900
01/15/40
199,295‌
200,000
AXIS
Specialty
Finance
plc
4.000
12/06/27
187,761‌
1,500,000
Berkshire
Hathaway
Finance
Corp
2.300
03/15/27
1,402,650‌
100,000
Berkshire
Hathaway
Finance
Corp
1.850
03/12/30
84,900‌
1,500,000
Berkshire
Hathaway
Finance
Corp
1.450
10/15/30
1,220,822‌
1,000,000
Berkshire
Hathaway
Finance
Corp
2.875
03/15/32
880,015‌
300,000
Berkshire
Hathaway
Finance
Corp
4.400
05/15/42
285,690‌
2,175,000
Berkshire
Hathaway
Finance
Corp
4.200
08/15/48
1,958,493‌
1,725,000
Berkshire
Hathaway
Finance
Corp
4.250
01/15/49
1,570,884‌
3,000,000
Berkshire
Hathaway
Finance
Corp
2.500
01/15/51
1,960,103‌
1,500,000
Berkshire
Hathaway
Finance
Corp
3.850
03/15/52
1,239,994‌
1,000,000
Brighthouse
Financial,
Inc
5.625
05/15/30
963,912‌
236,000
Brighthouse
Financial,
Inc
4.700
06/22/47
180,610‌
500,000
Brown
&
Brown,
Inc
4.500
03/15/29
471,811‌
1,000,000
Brown
&
Brown,
Inc
2.375
03/15/31
806,065‌
1,000,000
Brown
&
Brown,
Inc
4.200
03/17/32
898,027‌
500,000
Brown
&
Brown,
Inc
4.950
03/17/52
427,944‌
450,000
Chubb
Corp
6.000
05/11/37
480,288‌
1,325,000
Chubb
INA
Holdings,
Inc
1.375
09/15/30
1,053,435‌
425,000
Chubb
INA
Holdings,
Inc
2.850
12/15/51
295,934‌
1,500,000
Chubb
INA
Holdings,
Inc
3.050
12/15/61
1,008,822‌
200,000
Cincinnati
Financial
Corp
6.920
05/15/28
213,310‌
690,000
CNA
Financial
Corp
3.950
05/15/24
678,280‌
200,000
CNA
Financial
Corp
4.500
03/01/26
194,027‌
225,000
CNA
Financial
Corp
3.450
08/15/27
208,495‌
100,000
CNA
Financial
Corp
3.900
05/01/29
91,767‌
Bond
Index
Fund
June
30,
2023
62
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
INSURANCE—continued
$
1,150,000
CNA
Financial
Corp
2.050
%
08/15/30
$
919,573‌
1,000,000
CNA
Financial
Corp
5.500
06/15/33
975,161‌
500,000
CNO
Financial
Group,
Inc
5.250
05/30/29
472,994‌
1,000,000
Corebridge
Financial,
Inc
3.500
04/04/25
952,680‌
1,000,000
Corebridge
Financial,
Inc
3.650
04/05/27
933,575‌
1,000,000
Corebridge
Financial,
Inc
3.850
04/05/29
899,317‌
2,000,000
Corebridge
Financial,
Inc
3.900
04/05/32
1,737,794‌
1,000,000
Corebridge
Financial,
Inc
4.350
04/05/42
806,909‌
500,000
Corebridge
Financial,
Inc
4.400
04/05/52
393,088‌
1,000,000
Corebridge
Financial,
Inc
6.875
12/15/52
958,490‌
500,000
Enstar
Group
Ltd
4.950
06/01/29
465,610‌
1,000,000
Enstar
Group
Ltd
3.100
09/01/31
784,161‌
300,000
Everest
Reinsurance
Holdings,
Inc
4.868
06/01/44
267,326‌
250,000
Everest
Reinsurance
Holdings,
Inc
3.500
10/15/50
177,289‌
1,200,000
Everest
Reinsurance
Holdings,
Inc
3.125
10/15/52
792,968‌
750,000
g
F&G
Annuities
&
Life,
Inc
7.400
01/13/28
749,031‌
400,000
Fairfax
Financial
Holdings
Ltd
4.850
04/17/28
384,964‌
500,000
Fairfax
Financial
Holdings
Ltd
4.625
04/29/30
468,485‌
1,000,000
Fairfax
Financial
Holdings
Ltd
3
.375
03/03/31
844,043‌
1,000,000
Fairfax
Financial
Holdings
Ltd
5.625
08/16/32
965,981‌
300,000
Fidelity
National
Financial,
Inc
4.500
08/15/28
285,047‌
1,000,000
Fidelity
National
Financial,
Inc
3.400
06/15/30
873,181‌
500,000
Fidelity
National
Financial,
Inc
2.450
03/15/31
391,631‌
400,000
Fidelity
National
Financial,
Inc
3.200
09/17/51
233,276‌
750,000
First
American
Financial
Corp
4.000
05/15/30
656,559‌
400,000
First
American
Financial
Corp
2.400
08/15/31
304,167‌
350,000
Globe
Life,
Inc
2.150
08/15/30
275,785‌
175,000
Globe
Life,
Inc
4.800
06/15/32
167,853‌
200,000
Hanover
Insurance
Group,
Inc
4.500
04/15/26
193,584‌
1,000,000
Hanover
Insurance
Group,
Inc
2.500
09/01/30
786,077‌
750,000
Hartford
Financial
Services
Group,
Inc
2.800
08/19/29
645,641‌
400,000
Hartford
Financial
Services
Group,
Inc
4.300
04/15/43
325,914‌
450,000
Hartford
Financial
Services
Group,
Inc
4.400
03/15/48
373,816‌
450,000
Hartford
Financial
Services
Group,
Inc
3.600
08/19/49
339,772‌
475,000
Hartford
Financial
Services
Group,
Inc
2.900
09/15/51
308,275‌
500,000
e
Jackson
Financial,
Inc
5.170
06/08/27
476,157‌
1,500,000
Jackson
Financial,
Inc
3.125
11/23/31
1,163,869‌
500,000
e
Jackson
Financial,
Inc
5.670
06/08/32
474,356‌
1,000,000
Jackson
Financial,
Inc
4.000
11/23/51
681,621‌
200,000
Kemper
Corp
4.350
02/15/25
192,468‌
500,000
Kemper
Corp
2.400
09/30/30
390,578‌
1,000,000
Kemper
Corp
3.800
02/23/32
825,943‌
400,000
Leucadia
National
Corp
5.500
10/18/23
398,613‌
175,000
Lincoln
National
Corp
3.350
03/09/25
167,161‌
600,000
Lincoln
National
Corp
3.625
12/12/26
557,929‌
650,000
Lincoln
National
Corp
3.050
01/15/30
537,408‌
1,000,000
Lincoln
National
Corp
3.400
03/01/32
804,744‌
150,000
Lincoln
National
Corp
7.000
06/15/40
156,785‌
250,000
Lincoln
National
Corp
4.350
03/01/48
178,400‌
500,000
e
Lincoln
National
Corp
4.375
06/15/50
351,752‌
800,000
Loews
Corp
3.750
04/01/26
775,378‌
400,000
Loews
Corp
3.200
05/15/30
356,009‌
200,000
Loews
Corp
4.125
05/15/43
166,112‌
700,000
Manulife
Financial
Corp
4.150
03/04/26
677,717‌
1,300,000
Manulife
Financial
Corp
4.061
02/24/32
1,210,174‌
1,000,000
Manulife
Financial
Corp
3.703
03/16/32
908,540‌
200,000
Manulife
Financial
Corp
5.375
03/04/46
197,978‌
200,000
Markel
Corp
3.350
09/17/29
178,314‌
150,000
Markel
Corp
5.000
04/05/46
130,912‌
100,000
Markel
Corp
4.300
11/01/47
80,551‌
750,000
Markel
Corp
5.000
05/20/49
670,960‌
63
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
INSURANCE—continued
$
200,000
Markel
Corp
4.150
%
09/17/50
$
156,022‌
1,500,000
Markel
Corp
3.450
05/07/52
1,054,510‌
725,000
Marsh
&
McLennan
Cos,
Inc
3.875
03/15/24
715,199‌
1,700,000
Marsh
&
McLennan
Cos,
Inc
4.375
03/15/29
1,651,317‌
450,000
Marsh
&
McLennan
Cos,
Inc
2.250
11/15/30
374,059‌
600,000
Marsh
&
McLennan
Cos,
Inc
2.375
12/15/31
488,872‌
1,000,000
Marsh
&
McLennan
Cos,
Inc
5.750
11/01/32
1,051,052‌
250,000
Marsh
&
McLennan
Cos,
Inc
4.750
03/15/39
235,593‌
100,000
Marsh
&
McLennan
Cos,
Inc
4.350
01/30/47
85,635‌
300,000
Marsh
&
McLennan
Cos,
Inc
4.200
03/01/48
253,303‌
1,200,000
Marsh
&
McLennan
Cos,
Inc
4.900
03/15/49
1,128,498‌
1,000,000
Marsh
&
McLennan
Cos,
Inc
2.900
12/15/51
666,186‌
250,000
Marsh
&
McLennan
Cos,
Inc
6.250
11/01/52
280,946‌
1,000,000
Marsh
&
McLennan
Cos,
Inc
5.450
03/15/53
1,017,753‌
200,000
Mercury
General
Corp
4.400
03/15/27
189,152‌
700,000
MetLife,
Inc
3.600
04/10/24
689,484‌
700,000
MetLife,
Inc
3.600
11/13/25
672,440‌
1,000,000
MetLife,
Inc
4.550
03/23/30
977,171‌
675,000
MetLife,
Inc
6.375
06/15/34
738,005‌
1,530,000
MetLife,
Inc
5.700
06/15/35
1,573,332‌
130,000
MetLife,
Inc
5.875
02/06/41
132,945‌
450,000
MetLife,
Inc
4.125
08/13/42
378,041‌
750,000
MetLife,
Inc
4.875
11/13/43
689,419‌
500,000
MetLife,
Inc
4.721
12/15/44
446,208‌
800,000
MetLife,
Inc
4.050
03/01/45
671,324‌
1,650,000
MetLife,
Inc
4.600
05/13/46
1,491,049‌
1,200,000
MetLife,
Inc
5.000
07/15/52
1,126,825‌
1,000,000
MetLife,
Inc
5.250
01/15/54
967,256‌
20,000
Nationwide
Financial
Services
6.750
05/15/37
18,900‌
200,000
Old
Republic
International
Corp
4.875
10/01/24
196,102‌
100,000
Old
Republic
International
Corp
3.875
08/26/26
94,079‌
1,500,000
Old
Republic
International
Corp
3.850
06/11/51
1,070,140‌
500,000
PartnerRe
Finance
B
LLC
3.700
07/02/29
458,423‌
500,000
PartnerRe
Finance
B
LLC
4.500
10/01/50
417,500‌
725,000
Presbyterian
Healthcare
Services
4.875
08/01/52
704,988‌
1,000,000
Primerica,
Inc
2.800
11/19/31
826,916‌
200,000
Principal
Financial
Group,
Inc
3.400
05/15/25
191,276‌
850,000
Principal
Financial
Group,
Inc
3.100
11/15/26
784,621‌
100,000
Principal
Financial
Group,
Inc
3.700
05/15/29
91,757‌
1,000,000
Principal
Financial
Group,
Inc
2.125
06/15/30
811,067‌
750,000
Principal
Financial
Group,
Inc
5.375
03/15/33
742,987‌
100,000
Principal
Financial
Group,
Inc
4.625
09/15/42
85,655‌
200,000
Principal
Financial
Group,
Inc
4.350
05/15/43
162,052‌
300,000
Principal
Financial
Group,
Inc
4.300
11/15/46
239,247‌
750,000
Principal
Financial
Group,
Inc
5.500
03/15/53
711,549‌
650,000
Progressive
Corp
2.450
01/15/27
597,263‌
750,000
Progressive
Corp
2.500
03/15/27
687,624‌
250,000
Progressive
Corp
4.000
03/01/29
239,292‌
100,000
Progressive
Corp
3.200
03/26/30
89,610‌
125,000
e
Progressive
Corp
3.000
03/15/32
108,770‌
120,000
Progressive
Corp
6.250
12/01/32
129,611‌
1,000,000
Progressive
Corp
4.950
06/15/33
991,610‌
300,000
Progressive
Corp
4.350
04/25/44
259,755‌
300,000
Progressive
Corp
3.700
01/26/45
234,819‌
950,000
Progressive
Corp
4.125
04/15/47
819,470‌
750,000
Progressive
Corp
4.200
03/15/48
640,794‌
100,000
Progressive
Corp
3.950
03/26/50
82,099‌
500,000
Progressive
Corp
3.700
03/15/52
391,063‌
200,000
Prudential
Financial,
Inc
1.500
03/10/26
182,661‌
195,000
Prudential
Financial,
Inc
3.878
03/27/28
185,551‌
500,000
Prudential
Financial,
Inc
2.100
03/10/30
422,380‌
Bond
Index
Fund
June
30,
2023
64
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
INSURANCE—continued
$
450,000
Prudential
Financial,
Inc
5.700
%
12/14/36
$
467,570‌
500,000
Prudential
Financial,
Inc
3.000
03/10/40
373,804‌
600,000
Prudential
Financial,
Inc
5.200
03/15/44
592,902‌
1,700,000
Prudential
Financial,
Inc
4.600
05/15/44
1,496,257‌
200,000
Prudential
Financial,
Inc
5.375
05/15/45
194,444‌
2,300,000
Prudential
Financial,
Inc
4.500
09/15/47
2,121,543‌
300,000
Prudential
Financial,
Inc
4.418
03/27/48
253,151‌
2,400,000
Prudential
Financial,
Inc
5.700
09/15/48
2,316,696‌
799,000
Prudential
Financial,
Inc
3.935
12/07/49
635,745‌
450,000
Prudential
Financial,
Inc
4.350
02/25/50
381,714‌
1,000,000
Prudential
Financial,
Inc
3.700
03/13/51
766,041‌
675,000
Prudential
Financial,
Inc
5.125
03/01/52
609,437‌
1,000,000
Prudential
Financial,
Inc
6.000
09/01/52
949,923‌
1,500,000
Prudential
Financial,
Inc
6.750
03/01/53
1,508,985‌
200,000
Prudential
Funding
Asia
plc
3.125
04/14/30
175,540‌
1,000,000
Prudential
Funding
Asia
plc
3.625
03/24/32
888,137‌
750,000
Reinsurance
Group
of
America,
Inc
3.900
05/15/29
680,477‌
350,000
Reinsurance
Group
of
America,
Inc
3.150
06/15/30
299,953‌
1,000,000
Reinsurance
Group
of
America,
Inc
6.000
09/15/33
1,006,200‌
200,000
RenaissanceRe
Finance,
Inc
3.700
04/01/25
193,168‌
200,000
RenaissanceRe
Finance,
Inc
3.450
07/01/27
187,185‌
300,000
RenaissanceRe
Holdings
Ltd
3.600
04/15/29
266,876‌
1,000,000
RenaissanceRe
Holdings
Ltd
5.750
06/05/33
979,389‌
1,000,000
Stewart
Information
Services
Corp
3.600
11/15/31
767,782‌
350,000
Torchmark
Corp
4.550
09/15/28
338,494‌
20,000
Transatlantic
Holdings,
Inc
8.000
11/30/39
24,742‌
600,000
Travelers
Cos,
Inc
5.350
11/01/40
615,388‌
200,000
Travelers
Cos,
Inc
4.600
08/01/43
181,114‌
250,000
Travelers
Cos,
Inc
4.300
08/25/45
215,506‌
1,100,000
Travelers
Cos,
Inc
4.000
05/30/47
926,217‌
500,000
Travelers
Cos,
Inc
4.050
03/07/48
418,745‌
900,000
Travelers
Cos,
Inc
4.100
03/04/49
767,047‌
2,000,000
Travelers
Cos,
Inc
3.050
06/08/51
1,424,832‌
1,000,000
Travelers
Cos,
Inc
5.450
05/25/53
1,046,586‌
100,000
Travelers
Property
Casualty
Corp
6.375
03/15/33
110,218‌
500,000
Unum
Group
4.000
06/15/29
459,931‌
300,000
Unum
Group
5.750
08/15/42
276,034‌
500,000
Unum
Group
4.500
12/15/49
383,754‌
1,000,000
Unum
Group
4.125
06/15/51
730,563‌
200,000
Voya
Financial,
Inc
4.800
06/15/46
164,266‌
1,000,000
W
R
Berkley
Corp
3.550
03/30/52
707,584‌
400,000
W
R
Berkley
Corp
3.150
09/30/61
248,584‌
425,000
Willis
North
America,
Inc
3.600
05/15/24
414,672‌
1,000,000
Willis
North
America,
Inc
4.650
06/15/27
971,213‌
500,000
Willis
North
America,
Inc
4.500
09/15/28
476,838‌
900,000
Willis
North
America,
Inc
2.950
09/15/29
774,188‌
1,000,000
Willis
North
America,
Inc
5.350
05/15/33
975,080‌
300,000
Willis
North
America,
Inc
5.050
09/15/48
257,757‌
500,000
Willis
North
America,
Inc
3.875
09/15/49
363,280‌
200,000
WR
Berkley
Corp
4.750
08/01/44
175,009‌
650,000
WR
Berkley
Corp
4.000
05/12/50
511,716‌
200,000
XLIT
Ltd
5.250
12/15/43
196,862‌
TOTAL
INSURANCE
162,138,641‌
MATERIALS
-
0.7%
300,000
Air
Products
&
Chemicals,
Inc
3.350
07/31/24
292,246‌
175,000
Air
Products
&
Chemicals,
Inc
1.500
10/15/25
161,469‌
500,000
Air
Products
&
Chemicals,
Inc
1.850
05/15/27
449,731‌
2,125,000
Air
Products
&
Chemicals,
Inc
2.050
05/15/30
1,803,909‌
1,000,000
Air
Products
&
Chemicals,
Inc
4.800
03/03/33
1,008,991‌
125,000
Air
Products
&
Chemicals,
Inc
2.700
05/15/40
93,222‌
65
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MATERIALS—continued
$
1,250,000
Air
Products
&
Chemicals,
Inc
2.800
%
05/15/50
$
892,726‌
750,000
Albemarle
Corp
4.650
06/01/27
730,372‌
1,000,000
Albemarle
Corp
5.650
06/01/52
951,570‌
500,000
Amcor
Finance
USA,
Inc
3.625
04/28/26
472,683‌
400,000
Amcor
Finance
USA,
Inc
4.500
05/15/28
380,398‌
1,000,000
Amcor
Finance
USA,
Inc
5.625
05/26/33
987,845‌
2,000,000
Amcor
Flexibles
North
America,
Inc
2.690
05/25/31
1,638,203‌
1,000,000
AngloGold
Ashanti
Holdings
plc
3.375
11/01/28
875,558‌
375,000
AngloGold
Ashanti
Holdings
plc
3.750
10/01/30
321,888‌
1,000,000
AptarGroup,
Inc
3.600
03/15/32
857,846‌
1,500,000
ArcelorMittal
S.A.
6.550
11/29/27
1,538,497‌
2,000,000
ArcelorMittal
S.A.
6.800
11/29/32
2,053,315‌
300,000
Avery
Dennison
Corp
4.875
12/06/28
293,822‌
500,000
Avery
Dennison
Corp
2.650
04/30/30
420,541‌
1,000,000
Avery
Dennison
Corp
2.250
02/15/32
778,203‌
1,000,000
Avery
Dennison
Corp
5.750
03/15/33
1,020,565‌
100,000
Barrick
Australian
Finance
Pty
Ltd
5.950
10/15/39
104,411‌
1,500,000
Barrick
North
America
Finance
LLC
5.750
05/01/43
1,540,871‌
100,000
Bemis
Co,
Inc
3.100
09/15/26
91,807‌
200,000
Bemis
Co,
Inc
2.630
06/19/30
166,330‌
1,375,000
Berry
Global,
Inc
1.570
01/15/26
1,239,886‌
625,000
Berry
Global,
Inc
1.650
01/15/27
539,127‌
1,000,000
g
Berry
Global,
Inc
5.500
04/15/28
984,100‌
825,000
BHP
Billiton
Finance
USA
Ltd
4.125
02/24/42
747,602‌
1,925,000
BHP
Billiton
Finance
USA
Ltd
5.000
09/30/43
1,925,631‌
500,000
Cabot
Corp
4.000
07/01/29
460,384‌
1,000,000
Cabot
Corp
5.000
06/30/32
957,210‌
200,000
Celanese
US
Holdings
LLC
3.500
05/08/24
195,731‌
1,000,000
Celanese
US
Holdings
LLC
6.050
03/15/25
995,914‌
1,000,000
Celanese
US
Holdings
LLC
1.400
08/05/26
866,555‌
1,000,000
Celanese
US
Holdings
LLC
6.165
07/15/27
994,828‌
1,000,000
Celanese
US
Holdings
LLC
6.330
07/15/29
993,119‌
1,000,000
e
Celanese
US
Holdings
LLC
6.379
07/15/32
1,008,673‌
400,000
Celulosa
Arauco
y
Constitucion
S.A.
4.500
08/01/24
393,144‌
375,000
Celulosa
Arauco
y
Constitucion
S.A.
3.875
11/02/27
344,631‌
200,000
Celulosa
Arauco
y
Constitucion
S.A.
5.500
11/02/47
167,372‌
14,000
Dow
Chemical
Co
4.550
11/30/25
13,642‌
300,000
Dow
Chemical
Co
4.800
11/30/28
296,759‌
81,000
Dow
Chemical
Co
7.375
11/01/29
90,125‌
1,000,000
Dow
Chemical
Co
2.100
11/15/30
825,768‌
1,000,000
e
Dow
Chemical
Co
6.300
03/15/33
1,075,654‌
982,000
Dow
Chemical
Co
4.250
10/01/34
891,760‌
131,000
Dow
Chemical
Co
9.400
05/15/39
175,971‌
275,000
Dow
Chemical
Co
5.250
11/15/41
265,214‌
1,200,000
Dow
Chemical
Co
4.375
11/15/42
1,010,805‌
400,000
Dow
Chemical
Co
4.625
10/01/44
345,914‌
825,000
Dow
Chemical
Co
5.550
11/30/48
800,695‌
750,000
Dow
Chemical
Co
4.800
05/15/49
652,890‌
1,000,000
Dow
Chemical
Co
3.600
11/15/50
744,042‌
500,000
Dow
Chemical
Co
6.900
05/15/53
564,629‌
1,600,000
DowDuPont,
Inc
4.493
11/15/25
1,566,957‌
2,300,000
DowDuPont,
Inc
4.725
11/15/28
2,261,841‌
150,000
DowDuPont,
Inc
5.319
11/15/38
148,622‌
2,325,000
DowDuPont,
Inc
5.419
11/15/48
2,292,212‌
1,500,000
Eagle
Materials,
Inc
2.500
07/01/31
1,223,366‌
727,000
Eastman
Chemical
Co
3.800
03/15/25
705,702‌
700,000
Eastman
Chemical
Co
4.500
12/01/28
667,065‌
1,650,000
Eastman
Chemical
Co
5.750
03/08/33
1,648,003‌
150,000
Eastman
Chemical
Co
4.800
09/01/42
130,504‌
525,000
Eastman
Chemical
Co
4.650
10/15/44
442,528‌
750,000
Ecolab,
Inc
2.700
11/01/26
705,048‌
Bond
Index
Fund
June
30,
2023
66
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MATERIALS—continued
$
1,000,000
Ecolab,
Inc
1.650
%
02/01/27
$
898,578‌
300,000
Ecolab,
Inc
3.250
12/01/27
282,179‌
1,000,000
Ecolab,
Inc
5.250
01/15/28
1,015,753‌
1,000,000
Ecolab,
Inc
1.300
01/30/31
783,928‌
1,000,000
e
Ecolab,
Inc
2.125
02/01/32
818,414‌
150,000
Ecolab,
Inc
2.125
08/15/50
89,310‌
1,000,000
Ecolab,
Inc
2.700
12/15/51
662,872‌
1,370,000
Ecolab,
Inc
2.750
08/18/55
877,643‌
350,000
EI
du
Pont
de
Nemours
and
Co
1.700
07/15/25
325,291‌
175,000
EI
du
Pont
de
Nemours
and
Co
2
.300
07/15/30
146,057‌
1,250,000
EIDP,
Inc
4.800
05/15/33
1,223,824‌
700,000
Fibria
Overseas
Finance
Ltd
5.500
01/17/27
700,875‌
500,000
FMC
Corp
3.200
10/01/26
464,088‌
500,000
FMC
Corp
3.450
10/01/29
437,384‌
1,000,000
FMC
Corp
5.650
05/18/33
977,993‌
500,000
FMC
Corp
4.500
10/01/49
385,450‌
500,000
FMC
Corp
6.375
05/18/53
507,318‌
1,000,000
Freeport-McMoRan,
Inc
4.125
03/01/28
936,950‌
1,500,000
Freeport-McMoRan,
Inc
4.375
08/01/28
1,415,205‌
1,000,000
Freeport-McMoRan,
Inc
5.250
09/01/29
982,458‌
1,000,000
Freeport-McMoRan,
Inc
4.250
03/01/30
921,536‌
1,000,000
Freeport-McMoRan,
Inc
4.625
08/01/30
942,250‌
750,000
Georgia-Pacific
LLC
7.750
11/15/29
846,383‌
600,000
Huntsman
International
LLC
4.500
05/01/29
548,732‌
1,000,000
Huntsman
International
LLC
2.950
06/15/31
798,340‌
100,000
International
Flavors
&
Fragrances,
Inc
4.450
09/26/28
93,741‌
200,000
International
Flavors
&
Fragrances,
Inc
4.375
06/01/47
152,681‌
675,000
International
Flavors
&
Fragrances,
Inc
5.000
09/26/48
571,320‌
450,000
International
Paper
Co
6.000
11/15/41
461,287‌
390,000
International
Paper
Co
4.800
06/15/44
343,920‌
2,425,000
International
Paper
Co
4.350
08/15/48
2,048,101‌
1,000,000
Kinross
Gold
Corp
4.500
07/15/27
957,524‌
1,000,000
g,h
Kinross
Gold
Corp
6.250
07/15/33
989,031‌
150,000
Lubrizol
Corp
6.500
10/01/34
174,803‌
170,000
LYB
International
Finance
BV
4.000
07/15/23
169,768‌
575,000
LYB
International
Finance
BV
5.250
07/15/43
523,986‌
550,000
LYB
International
Finance
BV
4.875
03/15/44
483,478‌
491,000
LYB
International
Finance
III
LLC
1.250
10/01/25
443,979‌
150,000
e
LYB
International
Finance
III
LLC
2.250
10/01/30
122,826‌
1,000,000
LYB
International
Finance
III
LLC
5.625
05/15/33
1,000,652‌
1,150,000
LYB
International
Finance
III
LLC
3.375
10/01/40
844,960‌
1,000,000
LYB
International
Finance
III
LLC
4.200
10/15/49
765,069‌
750,000
LYB
International
Finance
III
LLC
4.200
05/01/50
572,023‌
1,000,000
LYB
International
Finance
III
LLC
3.625
04/01/51
692,056‌
500,000
LYB
International
Finance
III
LLC
3.800
10/01/60
336,497‌
475,000
LyondellBasell
Industries
NV
4.625
02/26/55
383,186‌
200,000
Martin
Marietta
Materials,
Inc
4.250
07/02/24
197,584‌
200,000
Martin
Marietta
Materials,
Inc
3.450
06/01/27
188,062‌
325,000
Martin
Marietta
Materials,
Inc
3.500
12/15/27
302,901‌
250,000
Martin
Marietta
Materials,
Inc
2.500
03/15/30
211,228‌
1,000,000
Martin
Marietta
Materials,
Inc
2.400
07/15/31
816,053‌
450,000
Martin
Marietta
Materials,
Inc
4.250
12/15/47
373,354‌
1,000,000
Martin
Marietta
Materials,
Inc
3.200
07/15/51
696,126‌
800,000
e
Mosaic
Co
4.050
11/15/27
761,740‌
300,000
Mosaic
Co
5.450
11/15/33
292,173‌
100,000
Mosaic
Co
4.875
11/15/41
85,635‌
600,000
Mosaic
Co
5.625
11/15/43
564,376‌
250,000
Newmont
Corp
2.250
10/01/30
204,823‌
1,350,000
Newmont
Corp
2.600
07/15/32
1,103,031‌
1,300,000
Newmont
Goldcorp
Corp
2.800
10/01/29
1,117,548‌
298,000
Newmont
Goldcorp
Corp
5.875
04/01/35
304,828‌
67
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MATERIALS—continued
$
235,000
Newmont
Goldcorp
Corp
6.250
%
10/01/39
$
247,609‌
975,000
Newmont
Goldcorp
Corp
4.875
03/15/42
904,405‌
300,000
Newmont
Goldcorp
Corp
5.450
06/09/44
295,208‌
275,000
Nucor
Corp
2.000
06/01/25
257,153‌
500,000
Nucor
Corp
4.300
05/23/27
484,928‌
425,000
Nucor
Corp
3.950
05/01/28
402,788‌
3,150,000
Nucor
Corp
2.700
06/01/30
2,732,299‌
500,000
Nucor
Corp
3.125
04/01/32
432,529‌
1,000,000
Nucor
Corp
2.979
12/15/55
639,463‌
200,000
Nutrien
Ltd
3.000
04/01/25
190,220‌
1,000,000
Nutrien
Ltd
5.950
11/07/25
1,005,991‌
700,000
Nutrien
Ltd
4.000
12/15/26
671,594‌
1,000,000
Nutrien
Ltd
4.900
03/27/28
980,790‌
550,000
Nutrien
Ltd
4.200
04/01/29
519,268‌
500,000
Nutrien
Ltd
2.950
05/13/30
434,030‌
200,000
Nutrien
Ltd
4.125
03/15/35
175,555‌
200,000
Nutrien
Ltd
5.625
12/01/40
193,961‌
200,000
Nutrien
Ltd
4.900
06/01/43
178,764‌
691,000
Nutrien
Ltd
5.250
01/15/45
639,495‌
1,050,000
Nutrien
Ltd
5.000
04/01/49
943,960‌
300,000
Nutrien
Ltd
3.950
05/13/50
229,974‌
750,000
Nutrien
Ltd
5.800
03/27/53
752,527‌
500,000
Owens
Corning
4.200
12/01/24
489,259‌
300,000
Owens
Corning
3.400
08/15/26
283,184‌
500,000
Owens
Corning
3.950
08/15/29
464,708‌
300,000
Owens
Corning
3
.875
06/01/30
274,080‌
525,000
Owens
Corning
4.300
07/15/47
429,629‌
350,000
Owens
Corning
4.400
01/30/48
288,997‌
100,000
Packaging
Corp
of
America
3.650
09/15/24
97,931‌
550,000
Packaging
Corp
of
America
3
.400
12/15/27
512,677‌
100,000
Packaging
Corp
of
America
3.000
12/15/29
87,182‌
500,000
Packaging
Corp
of
America
4.050
12/15/49
398,236‌
1,500,000
Packaging
Corp
of
America
3.050
10/01/51
991,786‌
500,000
PPG
Industries,
Inc
2.400
08/15/24
479,983‌
250,000
PPG
Industries,
Inc
1.200
03/15/26
223,938‌
425,000
PPG
Industries,
Inc
3.750
03/15/28
403,096‌
500,000
PPG
Industries,
Inc
2.550
06/15/30
426,158‌
300,000
Praxair,
Inc
2.650
02/05/25
287,025‌
1,000,000
Praxair,
Inc
3.200
01/30/26
965,816‌
725,000
Praxair,
Inc
1.100
08/10/30
576,298‌
625,000
Praxair,
Inc
3.550
11/07/42
506,719‌
225,000
Praxair,
Inc
2.000
08/10/50
127,811‌
500,000
Reliance
Steel
&
Aluminum
Co
1.300
08/15/25
456,450‌
500,000
Reliance
Steel
&
Aluminum
Co
2.150
08/15/30
407,404‌
414,000
Rio
Tinto
Alcan,
Inc
6.125
12/15/33
447,232‌
350,000
Rio
Tinto
Finance
USA
Ltd
5.200
11/02/40
352,980‌
2,000,000
Rio
Tinto
Finance
USA
Ltd
2.750
11/02/51
1,362,015‌
1,500,000
Rio
Tinto
Finance
USA
plc
5.000
03/09/33
1,513,190‌
1,400,000
Rio
Tinto
Finance
USA
plc
4.125
08/21/42
1,225,081‌
1,000,000
Rio
Tinto
Finance
USA
plc
5.125
03/09/53
1,008,342‌
100,000
RPM
International,
Inc
3.750
03/15/27
93,821‌
300,000
RPM
International,
Inc
4.550
03/01/29
281,043‌
1,000,000
RPM
International,
Inc
2.950
01/15/32
791,069‌
100,000
RPM
International,
Inc
5.250
06/01/45
88,852‌
200,000
RPM
International,
Inc
4.250
01/15/48
152,801‌
200,000
Sherwin-Williams
Co
3.450
08/01/25
192,045‌
1,000,000
Sherwin-Williams
Co
4.250
08/08/25
979,164‌
200,000
Sherwin-Williams
Co
3.950
01/15/26
193,653‌
925,000
Sherwin-Williams
Co
3.450
06/01/27
871,864‌
500,000
Sherwin-Williams
Co
2.950
08/15/29
441,135‌
500,000
Sherwin-Williams
Co
2.300
05/15/30
419,843‌
Bond
Index
Fund
June
30,
2023
68
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MATERIALS—continued
$
950,000
Sherwin-Williams
Co
2.200
%
03/15/32
$
765,767‌
200,000
Sherwin-Williams
Co
4.000
12/15/42
164,063‌
900,000
Sherwin-Williams
Co
4.500
06/01/47
787,988‌
900,000
Sherwin-Williams
Co
3.800
08/15/49
695,911‌
500,000
Sherwin-Williams
Co
3.300
05/15/50
354,957‌
1,000,000
Sherwin-Williams
Co
2.900
03/15/52
643,469‌
650,000
Sonoco
Products
Co
2.250
02/01/27
580,760‌
750,000
Sonoco
Products
Co
3.125
05/01/30
654,386‌
1,000,000
Sonoco
Products
Co
2.850
02/01/32
832,901‌
800,000
Southern
Copper
Corp
3.875
04/23/25
778,242‌
100,000
Southern
Copper
Corp
7.500
07/27/35
116,132‌
1,180,000
Southern
Copper
Corp
6.750
04/16/40
1,300,719‌
2,000,000
Southern
Copper
Corp
5.875
04/23/45
2,044,600‌
250,000
Steel
Dynamics,
Inc
2.800
12/15/24
238,580‌
100,000
Steel
Dynamics,
Inc
2.400
06/15/25
93,400‌
1,000,000
Steel
Dynamics,
Inc
1.650
10/15/27
849,437‌
750,000
Steel
Dynamics,
Inc
3.450
04/15/30
666,320‌
100,000
Steel
Dynamics,
Inc
3.250
01/15/31
86,671‌
500,000
Steel
Dynamics,
Inc
3.250
10/15/50
328,577‌
700,000
Suzano
Austria
GmbH
2.500
09/15/28
596,163‌
1,900,000
Suzano
Austria
GmbH
6.000
01/15/29
1,888,220‌
1,000,000
Suzano
Austria
GmbH
3.750
01/15/31
853,425‌
1,500,000
Suzano
Austria
GmbH
3.125
01/15/32
1,200,575‌
2,000,000
Teck
Resources
Ltd
3.900
07/15/30
1,819,338‌
750,000
Vulcan
Materials
Co
4.500
04/01/25
734,888‌
100,000
Vulcan
Materials
Co
3.900
04/01/27
96,229‌
275,000
Vulcan
Materials
Co
3.500
06/01/30
248,444‌
475,000
Vulcan
Materials
Co
4.500
06/15/47
412,563‌
200,000
Vulcan
Materials
Co
4.700
03/01/48
178,245‌
200,000
Westlake
Chemical
Corp
0.875
08/15/24
188,882‌
500,000
Westlake
Chemical
Corp
3.600
08/15/26
469,215‌
1,000,000
Westlake
Chemical
Corp
3.375
06/15/30
869,231‌
500,000
Westlake
Chemical
Corp
2.875
08/15/41
332,701‌
500,000
Westlake
Chemical
Corp
5.000
08/15/46
434,185‌
200,000
Westlake
Chemical
Corp
4.375
11/15/47
156,830‌
500,000
Westlake
Chemical
Corp
3.125
08/15/51
312,844‌
500,000
Westlake
Chemical
Corp
3.375
08/15/61
303,896‌
250,000
WRKCo,
Inc
3.000
09/15/24
240,411‌
425,000
WRKCo,
Inc
3.750
03/15/25
408,833‌
525,000
WRKCo,
Inc
4.650
03/15/26
509,372‌
300,000
WRKCo,
Inc
3.375
09/15/27
274,935‌
325,000
WRKCo,
Inc
4.000
03/15/28
302,472‌
240,000
WRKCo,
Inc
3.900
06/01/28
223,598‌
950,000
WRKCo,
Inc
4.900
03/15/29
918,833‌
685,000
WRKCo,
Inc
4.200
06/01/32
623,307‌
1,400,000
WRKCo,
Inc
3.000
06/15/33
1,138,502‌
750,000
Yamana
Gold,
Inc
2.630
08/15/31
584,208‌
TOTAL
MATERIALS
150,834,036‌
MEDIA
&
ENTERTAINMENT
-
1.1%
475,000
Activision
Blizzard,
Inc
3.400
09/15/26
451,881‌
300,000
Activision
Blizzard,
Inc
3.400
06/15/27
283,466‌
250,000
Activision
Blizzard,
Inc
1.350
09/15/30
199,985‌
300,000
Activision
Blizzard,
Inc
4.500
06/15/47
276,401‌
1,100,000
Activision
Blizzard,
Inc
2.500
09/15/50
707,648‌
1,000,000
AdventHealth
Obligated
Group
2.795
11/15/51
655,110‌
675,000
Alphabet,
Inc
0.450
08/15/25
617,939‌
1,250,000
Alphabet,
Inc
1.998
08/15/26
1,156,971‌
1,000,000
Alphabet,
Inc
0.800
08/15/27
865,728‌
850,000
Alphabet,
Inc
1.100
08/15/30
687,624‌
1,000,000
Alphabet,
Inc
1.900
08/15/40
688,710‌
69
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MEDIA
&
ENTERTAINMENT—continued
$
2,800,000
Alphabet,
Inc
2.050
%
08/15/50
$
1,751,590‌
1,100,000
Alphabet,
Inc
2.250
08/15/60
669,123‌
1,000,000
American
Assets
Trust
LP
3.375
02/01/31
781,448‌
700,000
e
Baidu,
Inc
3.875
09/29/23
696,451‌
525,000
Baidu,
Inc
4.375
05/14/24
517,845‌
200,000
e
Baidu,
Inc
3.075
04/07/25
190,782‌
1,000,000
Baidu,
Inc
1.720
04/09/26
897,195‌
500,000
e
Baidu,
Inc
4.375
03/29/28
475,261‌
500,000
Baidu,
Inc
4.875
11/14/28
485,039‌
300,000
Baidu,
Inc
3.425
04/07/30
268,283‌
750,000
Baidu,
Inc
2.375
10/09/30
618,815‌
1,000,000
Baidu,
Inc
2.375
08/23/31
810,101‌
1,000,000
Bain
Capital
Specialty
Finance,
Inc
2.550
10/13/26
857,482‌
1,000,000
Blackstone
Private
Credit
Fund
4.700
03/24/25
963,130‌
1,500,000
Blackstone
Private
Credit
Fund
7.050
09/29/25
1,496,110‌
1,800,000
Blackstone
Private
Credit
Fund
2.625
12/15/26
1,531,435‌
1,000,000
Blackstone
Private
Credit
Fund
3.250
03/15/27
864,121‌
1,000,000
Blackstone
Private
Credit
Fund
4.000
01/15/29
847,645‌
500,000
Broadstone
Net
Lease
LLC
2.600
09/15/31
358,265‌
1,000,000
Brown
University
in
Providence
in
the
State
of
Rhode
Island
and
Providence
Plant
2.924
09/01/50
726,144‌
1,000,000
Cedars-Sinai
Health
System
2.288
08/15/31
817,582‌
3,650,000
Charter
Communications
Operating
LLC
4.908
07/23/25
3,579,361‌
950,000
Charter
Communications
Operating
LLC
3.750
02/15/28
870,892‌
2,750,000
Charter
Communications
Operating
LLC
4.200
03/15/28
2,578,041‌
650,000
Charter
Communications
Operating
LLC
2.250
01/15/29
541,242‌
2,000,000
Charter
Communications
Operating
LLC
2.800
04/01/31
1,609,321‌
1,500,000
Charter
Communications
Operating
LLC
2.300
02/01/32
1,135,501‌
500,000
Charter
Communications
Operating
LLC
4.400
04/01/33
438,878‌
750,000
Charter
Communications
Operating
LLC
6.384
10/23/35
731,014‌
1,500,000
Charter
Communications
Operating
LLC
5.375
04/01/38
1,277,847‌
1,500,000
Charter
Communications
Operating
LLC
3.500
06/01/41
1,014,607‌
1,000,000
Charter
Communications
Operating
LLC
3.500
03/01/42
668,897‌
1,550,000
Charter
Communications
Operating
LLC
6.484
10/23/45
1,457,183‌
1,400,000
Charter
Communications
Operating
LLC
5.375
05/01/47
1,157,177‌
1,375,000
Charter
Communications
Operating
LLC
5.750
04/01/48
1,176,947‌
1,600,000
Charter
Communications
Operating
LLC
5.125
07/01/49
1,258,757‌
2,500,000
Charter
Communications
Operating
LLC
4.800
03/01/50
1,886,247‌
2,500,000
Charter
Communications
Operating
LLC
3.700
04/01/51
1,579,697‌
3,000,000
Charter
Communications
Operating
LLC
3.900
06/01/52
1,963,094‌
1,000,000
Charter
Communications
Operating
LLC
5.250
04/01/53
807,683‌
2,000,000
Charter
Communications
Operating
LLC
3.850
04/01/61
1,209,657‌
1,500,000
Charter
Communications
Operating
LLC
4.400
12/01/61
1,012,576‌
1,000,000
Charter
Communications
Operating
LLC
3.950
06/30/62
615,234‌
500,000
Charter
Communications
Operating
LLC
5.500
04/01/63
402,567‌
1,000,000
Children's
Health
System
of
Texas
2.511
08/15/50
619,517‌
1,000,000
Cleco
Securitization
I
LLC
4.646
09/01/42
948,930‌
350,000
Comcast
Corp
3.375
08/15/25
337,709‌
1,550,000
Comcast
Corp
3.950
10/15/25
1,511,006‌
1,950,000
Comcast
Corp
3.150
03/01/26
1,867,793‌
1,025,000
Comcast
Corp
2.350
01/15/27
941,120‌
1,450,000
Comcast
Corp
3.300
02/01/27
1,375,973‌
750,000
Comcast
Corp
5.350
11/15/27
763,388‌
900,000
Comcast
Corp
3.150
02/15/28
839,126‌
2,675,000
Comcast
Corp
4.150
10/15/28
2,591,748‌
1,000,000
Comcast
Corp
4.550
01/15/29
981,996‌
5,000,000
Comcast
Corp
3.400
04/01/30
4,594,018‌
3,300,000
Comcast
Corp
4.250
10/15/30
3,177,860‌
1,950,000
Comcast
Corp
1.950
01/15/31
1,595,669‌
3,850,000
Comcast
Corp
1.500
02/15/31
3,062,453‌
2,250,000
Comcast
Corp
5.500
11/15/32
2,337,976‌
1,925,000
Comcast
Corp
4.250
01/15/33
1,828,684‌
Bond
Index
Fund
June
30,
2023
70
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MEDIA
&
ENTERTAINMENT—continued
$
2,000,000
e
Comcast
Corp
4.650
%
02/15/33
$
1,985,430‌
150,000
Comcast
Corp
7.050
03/15/33
172,957‌
1,000,000
Comcast
Corp
4.800
05/15/33
989,435‌
200,000
Comcast
Corp
4.200
08/15/34
186,302‌
500,000
Comcast
Corp
4.400
08/15/35
469,970‌
36,000
Comcast
Corp
6.500
11/15/35
40,302‌
3,475,000
Comcast
Corp
3.200
07/15/36
2,850,768‌
3,150,000
Comcast
Corp
3.900
03/01/38
2,736,862‌
1,000,000
Comcast
Corp
3.250
11/01/39
793,224‌
3,800,000
Comcast
Corp
3.750
04/01/40
3,201,641‌
1,275,000
Comcast
Corp
3.400
07/15/46
967,608‌
631,000
Comcast
Corp
3.969
11/01/47
522,613‌
1,500,000
Comcast
Corp
4.000
03/01/48
1,250,026‌
1,407,000
Comcast
Corp
3.999
11/01/49
1,161,303‌
2,525,000
Comcast
Corp
3.450
02/01/50
1,921,687‌
425,000
Comcast
Corp
2.800
01/15/51
281,326‌
2,237,000
Comcast
Corp
2.887
11/01/51
1,499,811‌
1,050,000
Comcast
Corp
2.450
08/15/52
642,100‌
1,250,000
Comcast
Corp
5.350
05/15/53
1,269,149‌
2,708,000
Comcast
Corp
2.937
11/01/56
1,763,512‌
850,000
Comcast
Corp
2.650
08/15/62
505,248‌
6,758,000
Comcast
Corp
2.987
11/01/63
4,281,778‌
1,000,000
Comcast
Corp
5
.500
05/15/64
1,014,075‌
485,000
Cottage
Health
Obligated
Group
3.304
11/01/49
358,951‌
750,000
DH
Europe
Finance
II
Sarl
2.200
11/15/24
718,256‌
300,000
DH
Europe
Finance
II
Sarl
2.600
11/15/29
264,016‌
550,000
DH
Europe
Finance
II
Sarl
3.250
11/15/39
447,062‌
1,000,000
DH
Europe
Finance
II
Sarl
3.400
11/15/49
781,400‌
200,000
Discovery
Communications
LLC
3.900
11/15/24
193,954‌
350,000
Discovery
Communications
LLC
3.450
03/15/25
335,058‌
200,000
Discovery
Communications
LLC
3.950
06/15/25
191,941‌
500,000
Discovery
Communications
LLC
4.900
03/11/26
489,962‌
2,275,000
Discovery
Communications
LLC
3.950
03/20/28
2,115,136‌
1,000,000
Discovery
Communications
LLC
4.125
05/15/29
912,597‌
250,000
Discovery
Communications
LLC
3.625
05/15/30
219,294‌
1,400,000
Discovery
Communications
LLC
5.200
09/20/47
1,145,798‌
1,400,000
Discovery
Communications
LLC
5.300
05/15/49
1,160,134‌
500,000
Discovery
Communications
LLC
4.650
05/15/50
380,877‌
1,175,000
Discovery
Communications
LLC
4.000
09/15/55
780,968‌
1,000,000
Electronic
Arts,
Inc
1.850
02/15/31
809,980‌
1,000,000
Electronic
Arts,
Inc
2.950
02/15/51
676,475‌
500,000
Fox
Corp
3.050
04/07/25
478,375‌
2,250,000
Fox
Corp
4.709
01/25/29
2,186,456‌
500,000
Fox
Corp
3.500
04/08/30
448,666‌
1,500,000
Fox
Corp
5.476
01/25/39
1,401,173‌
650,000
Fox
Corp
5.576
01/25/49
608,577‌
200,000
Grupo
Televisa
SAB
4.625
01/30/26
194,788‌
1,100,000
Grupo
Televisa
SAB
5.000
05/13/45
945,535‌
700,000
Grupo
Televisa
SAB
6.125
01/31/46
693,420‌
500,000
e
Grupo
Televisa
SAB
5.250
05/24/49
449,030‌
1,900,000
GSK
Consumer
Healthcare
Capital
US
LLC
3.375
03/24/27
1,777,986‌
725,000
GSK
Consumer
Healthcare
Capital
US
LLC
3
.375
03/24/29
658,751‌
1,500,000
GSK
Consumer
Healthcare
Capital
US
LLC
3.625
03/24/32
1,344,660‌
1,000,000
GSK
Consumer
Healthcare
Capital
US
LLC
4.000
03/24/52
830,681‌
100,000
Interpublic
Group
of
Cos,
Inc
4.200
04/15/24
98,387‌
350,000
Interpublic
Group
of
Cos,
Inc
4.650
10/01/28
336,697‌
500,000
Interpublic
Group
of
Cos,
Inc
4.750
03/30/30
484,806‌
1,000,000
Interpublic
Group
of
Cos,
Inc
2.400
03/01/31
814,043‌
500,000
Interpublic
Group
of
Cos,
Inc
5.375
06/15/33
494,751‌
1,000,000
Interpublic
Group
of
Cos,
Inc
3.375
03/01/41
729,174‌
400,000
Interpublic
Group
of
Cos,
Inc
5.400
10/01/48
372,281‌
71
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MEDIA
&
ENTERTAINMENT—continued
$
445,000
Iowa
Health
System
3.665
%
02/15/50
$
337,789‌
135,000
MedStar
Health,
Inc
3.626
08/15/49
102,030‌
2,000,000
Meta
Platforms,
Inc
3.500
08/15/27
1,898,867‌
1,500,000
Meta
Platforms,
Inc
4.600
05/15/28
1,483,371‌
1,000,000
Meta
Platforms,
Inc
4.800
05/15/30
1,000,732‌
2,000,000
Meta
Platforms,
Inc
3.850
08/15/32
1,857,689‌
1,500,000
Meta
Platforms,
Inc
4.950
05/15/33
1,498,840‌
2,000,000
Meta
Platforms,
Inc
4.450
08/15/52
1,739,074‌
1,000,000
Meta
Platforms,
Inc
5.600
05/15/53
1,027,012‌
2,500,000
Meta
Platforms,
Inc
4.650
08/15/62
2,194,986‌
1,000,000
Meta
Platforms,
Inc
5.750
05/15/63
1,034,921‌
1,000,000
Morgan
Stanley
Direct
Lending
Fund
4.500
02/11/27
940,244‌
870,000
NBC
Universal
Media
LLC
4.450
01/15/43
777,459‌
1,000,000
Northwestern
Memorial
Healthcare
Obligated
Group
2.633
07/15/51
648,558‌
1,000,000
Ochsner
LSU
Health
System
of
North
Louisiana
2.510
05/15/31
739,847‌
425,000
Omnicom
Group,
Inc
3.650
11/01/24
412,733‌
1,050,000
Omnicom
Group,
Inc
3.600
04/15/26
1,008,515‌
750,000
Omnicom
Group,
Inc
2.450
04/30/30
629,110‌
325,000
Omnicom
Group,
Inc
4.200
06/01/30
304,483‌
700,000
e
Omnicom
Group,
Inc
2.600
08/01/31
580,302‌
1,000,000
Owl
Rock
Capital
Corp
III
3.125
04/13/27
847,595‌
1,000,000
Owl
Rock
Technology
Finance
Corp
2.500
01/15/27
827,783‌
200,000
Paramount
Global
3.375
02/15/28
177,776‌
500,000
PG&E
Recovery
Funding
LLC
5.256
01/15/38
511,533‌
500,000
PG&E
Recovery
Funding
LLC
5.536
07/15/47
521,344‌
1,000,000
Phillips
Edison
Grocery
Center
Operating
Partnership
I
LP
2.625
11/15/31
740,191‌
1,000,000
Rayonier
LP
2.750
05/17/31
804,275‌
500,000
Rexford
Industrial
Realty
LP
5.000
06/15/28
485,502‌
1,000,000
Rexford
Industrial
Realty
LP
2.125
12/01/30
788,869‌
1,000,000
Safehold
Operating
Partnership
LP
2.800
06/15/31
775,640‌
750,000
Schlumberger
Finance
Canada
Ltd
1.400
09/17/25
690,181‌
425,000
Sentara
Healthcare
2.927
11/01/51
286,656‌
500,000
Spectrum
Health
System
Obligated
Group
3.487
07/15/49
381,360‌
1,000,000
STERIS
Irish
FinCo
UnLtd
Co
2.700
03/15/31
833,497‌
1,000,000
STERIS
Irish
FinCo
UnLtd
Co
3.750
03/15/51
750,341‌
1,000,000
Take-Two
Interactive
Software,
Inc
3.550
04/14/25
964,276‌
375,000
Take-Two
Interactive
Software,
Inc
3.700
04/14/27
355,051‌
1,000,000
Take-Two
Interactive
Software,
Inc
4.950
03/28/28
988,160‌
1,000,000
Take-Two
Interactive
Software,
Inc
4.000
04/14/32
915,997‌
500,000
Tencent
Music
Entertainment
Group
1.375
09/03/25
453,703‌
750,000
Tencent
Music
Entertainment
Group
2.000
09/03/30
592,013‌
1,075,000
Time
Warner
Cable
LLC
6.550
05/01/37
1,030,575‌
400,000
Time
Warner
Cable
LLC
7.300
07/01/38
407,628‌
500,000
Time
Warner
Cable
LLC
6.750
06/15/39
480,539‌
890,000
Time
Warner
Cable
LLC
5.875
11/15/40
785,113‌
475,000
Time
Warner
Cable
LLC
5.500
09/01/41
395,169‌
2,875,000
Time
Warner
Cable
LLC
4.500
09/15/42
2,150,478‌
300,000
Time
Warner
Entertainment
Co
LP
8.375
07/15/33
329,541‌
450,000
Toledo
Hospital
5.750
11/15/38
442,924‌
800,000
ViacomCBS,
Inc
4.000
01/15/26
761,504‌
650,000
ViacomCBS,
Inc
2.900
01/15/27
585,500‌
1,300,000
ViacomCBS,
Inc
3.700
06/01/28
1,156,482‌
500,000
ViacomCBS,
Inc
4.200
06/01/29
445,699‌
500,000
ViacomCBS,
Inc
7.875
07/30/30
527,628‌
1,000,000
e
ViacomCBS,
Inc
4.950
01/15/31
901,297‌
1,500,000
e
ViacomCBS,
Inc
4.200
05/19/32
1,257,088‌
150,000
ViacomCBS,
Inc
6.875
04/30/36
145,942‌
200,000
ViacomCBS,
Inc
4.850
07/01/42
148,053‌
2,179,000
ViacomCBS,
Inc
4.375
03/15/43
1,537,252‌
625,000
ViacomCBS,
Inc
5.850
09/01/43
532,618‌
200,000
ViacomCBS,
Inc
4.900
08/15/44
146,610‌
Bond
Index
Fund
June
30,
2023
72
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MEDIA
&
ENTERTAINMENT—continued
$
800,000
ViacomCBS,
Inc
4.600
%
01/15/45
$
567,143‌
1,000,000
ViacomCBS,
Inc
4.950
05/19/50
750,570‌
875,000
Walt
Disney
Co
3.150
09/17/25
840,112‌
700,000
Walt
Disney
Co
3.700
10/15/25
679,062‌
8,000,000
Walt
Disney
Co
1.750
01/13/26
7,403,587‌
500,000
Walt
Disney
Co
3.000
02/13/26
477,649‌
475,000
Walt
Disney
Co
1.850
07/30/26
433,624‌
1,500,000
e
Walt
Disney
Co
2.950
06/15/27
1,405,364‌
2,000,000
e
Walt
Disney
Co
2.200
01/13/28
1,807,401‌
425,000
Walt
Disney
Co
2.000
09/01/29
361,819‌
500,000
e
Walt
Disney
Co
3.800
03/22/30
472,513‌
2,000,000
Walt
Disney
Co
2.650
01/13/31
1,741,277‌
229,000
Walt
Disney
Co
6.400
12/15/35
257,599‌
325,000
Walt
Disney
Co
6.650
11/15/37
375,780‌
1,000,000
Walt
Disney
Co
3.500
05/13/40
826,813‌
1,425,000
Walt
Disney
Co
6.150
02/15/41
1,563,104‌
100,000
Walt
Disney
Co
4.375
08/16/41
90,895‌
200,000
Walt
Disney
Co
3.700
12/01/42
165,313‌
225,000
Walt
Disney
Co
5.400
10/01/43
229,388‌
1,275,000
Walt
Disney
Co
4.125
06/01/44
1,120,379‌
500,000
Walt
Disney
Co
4.750
09/15/44
473,840‌
300,000
Walt
Disney
Co
4.950
10/15/45
289,402‌
100,000
Walt
Disney
Co
3.000
07/30/46
72,069‌
700,000
Walt
Disney
Co
4.750
11/15/46
660,197‌
1,600,000
Walt
Disney
Co
2.750
09/01/49
1,083,288‌
3,000,000
Walt
Disney
Co
4.700
03/23/50
2,867,753‌
2,000,000
Walt
Disney
Co
3.600
01/13/51
1,591,454‌
1,000,000
Walt
Disney
Co
3.800
05/13/60
798,349‌
2,000,000
Warnermedia
Holdings,
Inc
3.638
03/15/25
1,929,048‌
7,000,000
Warnermedia
Holdings,
Inc
3.755
03/15/27
6,529,364‌
3,325,000
Warnermedia
Holdings,
Inc
4.054
03/15/29
3,039,449‌
2,625,000
Warnermedia
Holdings,
Inc
4.279
03/15/32
2,328,048‌
2,750,000
Warnermedia
Holdings,
Inc
5.050
03/15/42
2,317,885‌
2,850,000
Warnermedia
Holdings,
Inc
5.141
03/15/52
2,320,607‌
2,975,000
Warnermedia
Holdings,
Inc
5.391
03/15/62
2,424,539‌
375,000
Weibo
Corp
3.500
07/05/24
364,178‌
900,000
Weibo
Corp
3
.375
07/08/30
716,525‌
1,500,000
WPP
Finance
2010
3.750
09/19/24
1,454,177‌
TOTAL
MEDIA
&
ENTERTAINMENT
240,305,428‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
1.3%
3,350,000
AbbVie,
Inc
3.800
03/15/25
3,256,936‌
1,575,000
AbbVie,
Inc
3.600
05/14/25
1,522,547‌
4,150,000
AbbVie,
Inc
3.200
05/14/26
3,933,212‌
4,000,000
AbbVie,
Inc
2.950
11/21/26
3,736,978‌
6,750,000
AbbVie,
Inc
3.200
11/21/29
6,103,865‌
2,250,000
AbbVie,
Inc
4.550
03/15/35
2,142,614‌
1,925,000
AbbVie,
Inc
4.500
05/14/35
1,828,934‌
675,000
AbbVie,
Inc
4.300
05/14/36
619,888‌
3,300,000
AbbVie,
Inc
4.050
11/21/39
2,873,185‌
2,175,000
AbbVie,
Inc
4.400
11/06/42
1,947,627‌
1,625,000
AbbVie,
Inc
4.850
06/15/44
1,514,112‌
1,310,000
AbbVie,
Inc
4.750
03/15/45
1,197,806‌
925,000
AbbVie,
Inc
4.700
05/14/45
845,111‌
1,350,000
AbbVie,
Inc
4.450
05/14/46
1,188,668‌
1,150,000
AbbVie,
Inc
4.875
11/14/48
1,086,777‌
4,975,000
AbbVie,
Inc
4.250
11/21/49
4,294,068‌
200,000
Agilent
Technologies,
Inc
3.050
09/22/26
185,152‌
500,000
Agilent
Technologies,
Inc
2.750
09/15/29
434,906‌
1,000,000
Agilent
Technologies,
Inc
2.100
06/04/30
821,668‌
1,000,000
Agilent
Technologies,
Inc
2.300
03/12/31
818,351‌
73
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES—continued
$
950,000
Amgen,
Inc
3.625
%
05/22/24
$
933,413‌
775,000
Amgen,
Inc
3.125
05/01/25
742,293‌
1,225,000
Amgen,
Inc
2.600
08/19/26
1,134,155‌
3,250,000
Amgen,
Inc
2.200
02/21/27
2,952,731‌
775,000
Amgen,
Inc
3.200
11/02/27
723,705‌
5,000,000
Amgen,
Inc
5.150
03/02/28
4,995,498‌
1,500,000
Amgen,
Inc
1.650
08/15/28
1,283,087‌
1,000,000
Amgen,
Inc
4.050
08/18/29
948,136‌
1,000,000
Amgen,
Inc
2.450
02/21/30
857,303‌
1,175,000
Amgen,
Inc
5.250
03/02/30
1,177,344‌
500,000
Amgen,
Inc
2.300
02/25/31
415,512‌
850,000
Amgen,
Inc
3.350
02/22/32
749,010‌
1,000,000
Amgen,
Inc
4.200
03/01/33
933,228‌
2,300,000
Amgen,
Inc
5.250
03/02/33
2,302,934‌
1,325,000
Amgen,
Inc
3.150
02/21/40
1,013,266‌
1,500,000
Amgen,
Inc
2.800
08/15/41
1,059,818‌
126,000
Amgen,
Inc
5.150
11/15/41
121,764‌
1,900,000
Amgen,
Inc
5.600
03/02/43
1,905,750‌
2,675,000
Amgen,
Inc
4.400
05/01/45
2,316,847‌
2,128,000
Amgen,
Inc
4.563
06/15/48
1,885,330‌
2,575,000
Amgen,
Inc
3.375
02/21/50
1,886,576‌
2,447,000
Amgen,
Inc
4.663
06/15/51
2,191,352‌
1,000,000
Amgen,
Inc
3.000
01/15/52
666,693‌
1,000,000
Amgen,
Inc
4.200
02/22/52
827,379‌
1,000,000
Amgen,
Inc
4.875
03/01/53
920,098‌
1,450,000
Amgen,
Inc
5.650
03/02/53
1,468,422‌
172,000
Amgen,
Inc
2.770
09/01/53
106,867‌
1,000,000
Amgen,
Inc
4.400
02/22/62
820,729‌
1,250,000
Amgen,
Inc
5.750
03/02/63
1,268,047‌
2,000,000
AstraZeneca
Finance
LLC
1.200
05/28/26
1,804,686‌
1,000,000
AstraZeneca
Finance
LLC
4.875
03/03/28
999,425‌
2,000,000
AstraZeneca
Finance
LLC
1.750
05/28/28
1,732,871‌
1,000,000
AstraZeneca
Finance
LLC
4.900
03/03/30
1,001,875‌
350,000
AstraZeneca
plc
3.375
11/16/25
336,529‌
1,000,000
AstraZeneca
plc
0.700
04/08/26
893,392‌
950,000
AstraZeneca
plc
3.125
06/12/27
891,555‌
1,700,000
AstraZeneca
plc
4.000
01/17/29
1,639,523‌
1,000,000
AstraZeneca
plc
1.375
08/06/30
804,599‌
1,900,000
AstraZeneca
plc
6.450
09/15/37
2,178,360‌
625,000
AstraZeneca
plc
4.000
09/18/42
556,784‌
500,000
AstraZeneca
plc
4.375
11/16/45
464,566‌
750,000
AstraZeneca
plc
4.375
08/17/48
699,413‌
600,000
AstraZeneca
plc
2.125
08/06/50
373,060‌
1,500,000
AstraZeneca
plc
3.000
05/28/51
1,112,522‌
449,000
Baxalta,
Inc
4.000
06/23/25
435,589‌
149,000
Baxalta,
Inc
5.250
06/23/45
146,860‌
875,000
Biogen,
Inc
4.050
09/15/25
846,613‌
1,800,000
Biogen,
Inc
2.250
05/01/30
1,503,759‌
1,375,000
e
Biogen,
Inc
3.150
05/01/50
940,684‌
1,346,000
Biogen,
Inc
3.250
02/15/51
939,616‌
5,350,000
Bristol-Myers
Squibb
Co
2.900
07/26/24
5,209,782‌
2,000,000
Bristol-Myers
Squibb
Co
0
.750
11/13/25
1,817,212‌
1,000,000
Bristol-Myers
Squibb
Co
1.125
11/13/27
870,701‌
1,275,000
Bristol-Myers
Squibb
Co
3.900
02/20/28
1,237,805‌
874,000
Bristol-Myers
Squibb
Co
3.400
07/26/29
811,821‌
1,150,000
Bristol-Myers
Squibb
Co
1.450
11/13/30
923,265‌
1,400,000
Bristol-Myers
Squibb
Co
2.950
03/15/32
1,237,150‌
1,700,000
Bristol-Myers
Squibb
Co
4.125
06/15/39
1,549,960‌
125,000
Bristol-Myers
Squibb
Co
2.350
11/13/40
87,834‌
375,000
Bristol-Myers
Squibb
Co
3.550
03/15/42
310,922‌
650,000
Bristol-Myers
Squibb
Co
3.250
08/01/42
506,537‌
Bond
Index
Fund
June
30,
2023
74
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES—continued
$
500,000
Bristol-Myers
Squibb
Co
4.350
%
11/15/47
$
452,092‌
1,786,000
Bristol-Myers
Squibb
Co
4
.550
02/20/48
1,665,586‌
2,400,000
Bristol-Myers
Squibb
Co
4.250
10/26/49
2,127,533‌
1,500,000
Bristol-Myers
Squibb
Co
2.550
11/13/50
975,279‌
2,075,000
Bristol-Myers
Squibb
Co
3.700
03/15/52
1,682,589‌
1,000,000
Bristol-Myers
Squibb
Co
3.900
03/15/62
803,238‌
200,000
Danaher
Corp
3.350
09/15/25
192,572‌
200,000
Danaher
Corp
4.375
09/15/45
180,584‌
400,000
Danaher
Corp
2.600
10/01/50
269,894‌
750,000
Danaher
Corp
2.800
12/10/51
517,389‌
975,000
Eli
Lilly
&
Co
2.750
06/01/25
934,647‌
950,000
Eli
Lilly
&
Co
3.100
05/15/27
902,629‌
850,000
Eli
Lilly
&
Co
4.700
02/27/33
861,142‌
1,300,000
Eli
Lilly
&
Co
2
.250
05/15/50
847,454‌
550,000
Eli
Lilly
&
Co
4.875
02/27/53
564,908‌
750,000
Eli
Lilly
&
Co
2.500
09/15/60
472,253‌
425,000
Eli
Lilly
&
Co
4.950
02/27/63
433,720‌
575,000
Gilead
Sciences,
Inc
3.500
02/01/25
557,542‌
1,125,000
Gilead
Sciences,
Inc
3.650
03/01/26
1,082,264‌
525,000
Gilead
Sciences,
Inc
2.950
03/01/27
493,016‌
5,815,000
Gilead
Sciences,
Inc
1.650
10/01/30
4,745,857‌
450,000
Gilead
Sciences,
Inc
4.600
09/01/35
433,278‌
1,300,000
Gilead
Sciences,
Inc
4.000
09/01/36
1,172,203‌
325,000
Gilead
Sciences,
Inc
2.600
10/01/40
235,382‌
250,000
Gilead
Sciences,
Inc
5.650
12/01/41
262,893‌
1,025,000
Gilead
Sciences,
Inc
4.800
04/01/44
978,432‌
950,000
Gilead
Sciences,
Inc
4.500
02/01/45
866,506‌
925,000
Gilead
Sciences,
Inc
4.750
03/01/46
870,594‌
1,525,000
Gilead
Sciences,
Inc
4.150
03/01/47
1,323,135‌
2,600,000
Gilead
Sciences,
Inc
2.800
10/01/50
1,758,652‌
2,900,000
GlaxoSmithKline
Capital
plc
3.375
06/01/29
2,692,519‌
950,000
GlaxoSmithKline
Capital,
Inc
3.625
05/15/25
923,436‌
925,000
GlaxoSmithKline
Capital,
Inc
3.875
05/15/28
889,484‌
350,000
e
GlaxoSmithKline
Capital,
Inc
5.375
04/15/34
369,005‌
1,243,000
GlaxoSmithKline
Capital,
Inc
6.375
05/15/38
1,416,424‌
850,000
GlaxoSmithKline
Capital,
Inc
4
.200
03/18/43
767,010‌
1,000,000
Illumina,
Inc
5.750
12/13/27
1,004,406‌
1,500,000
Illumina,
Inc
2.550
03/23/31
1,236,684‌
2,000,000
Johnson
&
Johnson
0.550
09/01/25
1,827,930‌
1,000,000
Johnson
&
Johnson
2
.450
03/01/26
944,411‌
2,000,000
Johnson
&
Johnson
0.950
09/01/27
1,748,409‌
2,000,000
Johnson
&
Johnson
1.300
09/01/30
1,642,682‌
1,000,000
Johnson
&
Johnson
4.375
12/05/33
1,009,004‌
250,000
Johnson
&
Johnson
3.550
03/01/36
224,517‌
450,000
Johnson
&
Johnson
3.625
03/03/37
404,940‌
250,000
Johnson
&
Johnson
5.950
08/15/37
281,713‌
675,000
Johnson
&
Johnson
3.400
01/15/38
588,256‌
375,000
Johnson
&
Johnson
5.850
07/15/38
418,365‌
1,000,000
Johnson
&
Johnson
2.100
09/01/40
704,495‌
300,000
Johnson
&
Johnson
4.500
12/05/43
297,467‌
1,200,000
Johnson
&
Johnson
3.700
03/01/46
1,056,498‌
1,625,000
Johnson
&
Johnson
3.750
03/03/47
1,428,433‌
2,100,000
Johnson
&
Johnson
3.500
01/15/48
1,784,472‌
1,500,000
Johnson
&
Johnson
2.250
09/01/50
993,873‌
1,000,000
Johnson
&
Johnson
2.450
09/01/60
646,833‌
1,450,000
Merck
&
Co,
Inc
2
.750
02/10/25
1,395,546‌
2,875,000
Merck
&
Co,
Inc
0.750
02/24/26
2,597,888‌
2,000,000
Merck
&
Co,
Inc
1.700
06/10/27
1,791,661‌
1,000,000
e
Merck
&
Co,
Inc
4.050
05/17/28
982,619‌
1,500,000
Merck
&
Co,
Inc
1
.900
12/10/28
1,309,869‌
1,000,000
Merck
&
Co,
Inc
4.300
05/17/30
978,684‌
75
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES—continued
$
3,175,000
Merck
&
Co,
Inc
1.450
%
06/24/30
$
2,588,903‌
1,150,000
Merck
&
Co,
Inc
2.150
12/10/31
952,821‌
1,000,000
Merck
&
Co,
Inc
4.500
05/17/33
991,922‌
1,475,000
Merck
&
Co,
Inc
3.900
03/07/39
1,321,733‌
425,000
Merck
&
Co,
Inc
2.350
06/24/40
304,332‌
100,000
Merck
&
Co,
Inc
3.600
09/15/42
83,387‌
925,000
Merck
&
Co,
Inc
4.150
05/18/43
840,686‌
1,250,000
Merck
&
Co,
Inc
4.900
05/17/44
1,253,228‌
1,825,000
Merck
&
Co,
Inc
3.700
02/10/45
1,549,521‌
1,600,000
Merck
&
Co,
Inc
4.000
03/07/49
1,414,929‌
375,000
Merck
&
Co,
Inc
2.450
06/24/50
245,955‌
625,000
Merck
&
Co,
Inc
2.750
12/10/51
431,084‌
1,375,000
Merck
&
Co,
Inc
5.000
05/17/53
1,392,929‌
1,100,000
Merck
&
Co,
Inc
2.900
12/10/61
728,357‌
1,500,000
Merck
&
Co,
Inc
5.150
05/17/63
1,532,046‌
2,800,000
Mylan
NV
3.950
06/15/26
2,659,402‌
750,000
Mylan
NV
5.250
06/15/46
591,287‌
500,000
Mylan,
Inc
4.550
04/15/28
471,061‌
700,000
Mylan,
Inc
5.200
04/15/48
545,390‌
725,000
Novartis
Capital
Corp
3.000
11/20/25
693,492‌
3,500,000
Novartis
Capital
Corp
2.000
02/14/27
3,207,380‌
2,300,000
Novartis
Capital
Corp
3.100
05/17/27
2,191,115‌
1,000,000
Novartis
Capital
Corp
2.200
08/14/30
864,411‌
400,000
Novartis
Capital
Corp
3.700
09/21/42
341,718‌
1,025,000
Novartis
Capital
Corp
4.400
05/06/44
981,390‌
1,000,000
Novartis
Capital
Corp
4.000
11/20/45
902,157‌
750,000
Novartis
Capital
Corp
2.750
08/14/50
545,962‌
500,000
PerkinElmer,
Inc
3.300
09/15/29
446,790‌
1,000,000
PerkinElmer,
Inc
2.550
03/15/31
824,068‌
300,000
PerkinElmer,
Inc
2.250
09/15/31
240,709‌
1,000,000
PerkinElmer,
Inc
3.625
03/15/51
727,366‌
5,000,000
Pfizer
Investment
Enterprises
Pte
Ltd
4.450
05/19/28
4,914,456‌
5,000,000
Pfizer
Investment
Enterprises
Pte
Ltd
4.650
05/19/30
4,940,318‌
1,300,000
Pfizer
Investment
Enterprises
Pte
Ltd
4.750
05/19/33
1,295,102‌
1,850,000
Pfizer
Investment
Enterprises
Pte
Ltd
5.110
05/19/43
1,854,196‌
1,775,000
Pfizer
Investment
Enterprises
Pte
Ltd
5.300
05/19/53
1,845,434‌
2,500,000
Pfizer
Investment
Enterprises
Pte
Ltd
5.340
05/19/63
2,529,871‌
1,175,000
Pfizer,
Inc
3.400
05/15/24
1,149,700‌
3,000,000
Pfizer,
Inc
0.800
05/28/25
2,769,760‌
350,000
Pfizer,
Inc
2.750
06/03/26
330,743‌
2,850,000
Pfizer,
Inc
3.000
12/15/26
2,690,820‌
950,000
Pfizer,
Inc
3.600
09/15/28
911,605‌
1,550,000
Pfizer,
Inc
3.450
03/15/29
1,459,272‌
1,500,000
Pfizer,
Inc
1.750
08/18/31
1,220,907‌
425,000
Pfizer,
Inc
4.000
12/15/36
395,982‌
500,000
Pfizer,
Inc
4.100
09/15/38
454,977‌
875,000
Pfizer,
Inc
3.900
03/15/39
782,479‌
350,000
Pfizer,
Inc
7.200
03/15/39
435,746‌
1,250,000
Pfizer,
Inc
2.550
05/28/40
920,201‌
625,000
Pfizer,
Inc
4.300
06/15/43
579,819‌
1,100,000
Pfizer,
Inc
4.400
05/15/44
1,043,525‌
1,875,000
Pfizer,
Inc
4.125
12/15/46
1,680,539‌
1,200,000
Pfizer,
Inc
4.200
09/15/48
1,105,760‌
2,100,000
Pfizer,
Inc
4.000
03/15/49
1,875,396‌
1,000,000
Pfizer,
Inc
2.700
05/28/50
706,264‌
1,000,000
Regeneron
Pharmaceuticals,
Inc
1.750
09/15/30
797,069‌
500,000
Regeneron
Pharmaceuticals,
Inc
2.800
09/15/50
321,973‌
1,000,000
Royalty
Pharma
plc
0.750
09/02/23
990,805‌
1,000,000
Royalty
Pharma
plc
1.200
09/02/25
901,854‌
375,000
Royalty
Pharma
plc
2.200
09/02/30
301,456‌
1,000,000
Royalty
Pharma
plc
3.300
09/02/40
711,955‌
Bond
Index
Fund
June
30,
2023
76
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES—continued
$
1,000,000
Royalty
Pharma
plc
3.550
%
09/02/50
$
675,230‌
1,000,000
Royalty
Pharma
plc
3.350
09/02/51
644,238‌
500,000
Sanofi
3.625
06/19/28
481,525‌
2,100,000
Takeda
Pharmaceutical
Co
Ltd
5.000
11/26/28
2,087,578‌
700,000
Takeda
Pharmaceutical
Co
Ltd
2.050
03/31/30
581,735‌
2,050,000
Takeda
Pharmaceutical
Co
Ltd
3.025
07/09/40
1,551,729‌
1,150,000
Takeda
Pharmaceutical
Co
Ltd
3.175
07/09/50
809,995‌
1,000,000
Takeda
Pharmaceutical
Co
Ltd
3.375
07/09/60
682,452‌
3,000,000
Thermo
Fisher
Scientific,
Inc
1.215
10/18/24
2,836,713‌
500,000
Thermo
Fisher
Scientific,
Inc
4.800
11/21/27
502,235‌
1,000,000
Thermo
Fisher
Scientific,
Inc
1.750
10/15/28
861,680‌
1,500,000
Thermo
Fisher
Scientific,
Inc
2.600
10/01/29
1,322,634‌
275,000
Thermo
Fisher
Scientific,
Inc
2.000
10/15/31
224,355‌
500,000
Thermo
Fisher
Scientific,
Inc
4.950
11/21/32
509,014‌
1,500,000
Thermo
Fisher
Scientific,
Inc
2.800
10/15/41
1,118,043‌
200,000
Thermo
Fisher
Scientific,
Inc
5.300
02/01/44
202,054‌
200,000
Thermo
Fisher
Scientific,
Inc
4.100
08/15/47
178,839‌
1,000,000
Viatris,
Inc
1.650
06/22/25
920,029‌
400,000
Viatris,
Inc
2.300
06/22/27
349,462‌
375,000
Viatris,
Inc
2.700
06/22/30
303,462‌
600,000
Viatris,
Inc
3.850
06/22/40
414,628‌
1,950,000
Viatris,
Inc
4.000
06/22/50
1,289,611‌
150,000
Wyeth
LLC
6.500
02/01/34
167,680‌
275,000
Wyeth
LLC
5.950
04/01/37
300,636‌
300,000
Zoetis,
Inc
4.500
11/13/25
295,088‌
425,000
Zoetis,
Inc
3.000
09/12/27
395,906‌
500,000
Zoetis,
Inc
3.900
08/20/28
479,729‌
2,000,000
Zoetis,
Inc
5.600
11/16/32
2,090,602‌
900,000
Zoetis,
Inc
4.700
02/01/43
837,473‌
650,000
Zoetis,
Inc
3.950
09/12/47
539,492‌
200,000
Zoetis,
Inc
4.450
08/20/48
177,912‌
375,000
Zoetis,
Inc
3.000
05/15/50
261,532‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
274,722,564‌
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
0.0%
1,000,000
CBRE
Services,
Inc
5.950
08/15/34
987,425‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
987,425‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0.6%
500,000
Advanced
Micro
Devices,
Inc
3.924
06/01/32
473,930‌
500,000
Advanced
Micro
Devices,
Inc
4.393
06/01/52
455,229‌
250,000
Analog
Devices,
Inc
2.950
04/01/25
240,251‌
1,175,000
Analog
Devices,
Inc
3.500
12/05/26
1,131,898‌
400,000
g
Analog
Devices,
Inc
3.450
06/15/27
379,079‌
1,000,000
Analog
Devices,
Inc
1
.700
10/01/28
859,285‌
600,000
Analog
Devices,
Inc
2.100
10/01/31
496,548‌
300,000
Analog
Devices,
Inc
2.800
10/01/41
222,789‌
1,000,000
Analog
Devices,
Inc
2.950
10/01/51
706,337‌
1,000,000
Applied
Materials,
Inc
3.300
04/01/27
953,635‌
950,000
Applied
Materials,
Inc
1.750
06/01/30
790,942‌
250,000
Applied
Materials,
Inc
5.100
10/01/35
253,360‌
100,000
Applied
Materials,
Inc
5.850
06/15/41
109,539‌
1,200,000
Applied
Materials,
Inc
4.350
04/01/47
1,119,587‌
775,000
Applied
Materials,
Inc
2.750
06/01/50
547,712‌
2,000,000
g
Broadcom,
Inc
1.950
02/15/28
1,729,605‌
300,000
g
Broadcom,
Inc
4.000
04/15/29
277,081‌
343,000
Broadcom,
Inc
4.150
11/15/30
315,577‌
1,500,000
g
Broadcom,
Inc
2.450
02/15/31
1,219,952‌
625,000
g
Broadcom,
Inc
4.150
04/15/32
566,106‌
1,500,000
Broadcom,
Inc
4.300
11/15/32
1,375,920‌
1,500,000
g
Broadcom,
Inc
2.600
02/15/33
1,172,240‌
77
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT—continued
$
5,883,000
g
Broadcom,
Inc
3.419
%
04/15/33
$
4,919,708‌
2,522,000
g
Broadcom,
Inc
3.469
04/15/34
2,068,819‌
6,327,000
g
Broadcom,
Inc
3.137
11/15/35
4,853,094‌
4,043,000
g
Broadcom,
Inc
3.187
11/15/36
3,055,510‌
3,336,000
g
Broadcom,
Inc
4.926
05/15/37
3,019,094‌
850,000
g
Broadcom,
Inc
3.500
02/15/41
635,823‌
3,000,000
g
Broadcom,
Inc
3.750
02/15/51
2,206,153‌
1,000,000
Dell
International
LLC
5.250
02/01/28
997,926‌
750,000
e
Dell
International
LLC
5.750
02/01/33
757,190‌
2,050,000
Intel
Corp
3.700
07/29/25
1,993,637‌
2,480,000
Intel
Corp
2.600
05/19/26
2,333,630‌
1,000,000
Intel
Corp
3.750
08/05/27
956,109‌
2,000,000
Intel
Corp
4.875
02/10/28
1,992,442‌
1,500,000
Intel
Corp
1.600
08/12/28
1,291,154‌
1,000,000
Intel
Corp
4.000
08/05/29
951,361‌
2,500,000
Intel
Corp
2.450
11/15/29
2,162,115‌
1,000,000
Intel
Corp
5.125
02/10/30
1,006,134‌
1,500,000
Intel
Corp
3.900
03/25/30
1,414,399‌
2,000,000
Intel
Corp
2.000
08/12/31
1,633,806‌
1,000,000
Intel
Corp
4.150
08/05/32
950,213‌
250,000
Intel
Corp
4.000
12/15/32
234,832‌
1,500,000
Intel
Corp
5.200
02/10/33
1,514,217‌
1,000,000
Intel
Corp
2.800
08/12/41
712,420‌
1,000,000
Intel
Corp
5.625
02/10/43
1,015,502‌
200,000
Intel
Corp
4.100
05/19/46
167,659‌
675,000
Intel
Corp
4.100
05/11/47
568,102‌
3,328,000
Intel
Corp
3.734
12/08/47
2,587,107‌
2,500,000
Intel
Corp
3.250
11/15/49
1,762,999‌
3,175,000
Intel
Corp
4.750
03/25/50
2,869,753‌
1,000,000
Intel
Corp
3.050
08/12/51
670,159‌
1,000,000
Intel
Corp
4.900
08/05/52
922,969‌
1,500,000
Intel
Corp
5.700
02/10/53
1,525,943‌
1,000,000
Intel
Corp
3.100
02/15/60
639,563‌
1,000,000
Intel
Corp
5.050
08/05/62
920,549‌
1,000,000
Intel
Corp
5.900
02/10/63
1,032,719‌
850,000
e
KLA
Corp
4.650
07/15/32
847,009‌
1,000,000
KLA
Corp
3.300
03/01/50
749,941‌
1,000,000
KLA
Corp
4.950
07/15/52
984,608‌
500,000
KLA
Corp
5.250
07/15/62
506,053‌
200,000
Lam
Research
Corp
3.800
03/15/25
195,313‌
150,000
Lam
Research
Corp
3.750
03/15/26
145,585‌
275,000
Lam
Research
Corp
4.000
03/15/29
265,375‌
125,000
Lam
Research
Corp
1.900
06/15/30
104,150‌
825,000
Lam
Research
Corp
4.875
03/15/49
798,640‌
200,000
Lam
Research
Corp
2.875
06/15/50
139,726‌
1,200,000
Lam
Research
Corp
3.125
06/15/60
806,934‌
1,000,000
Marvell
Technology,
Inc
1.650
04/15/26
900,686‌
1,000,000
Marvell
Technology,
Inc
2.450
04/15/28
873,082‌
350,000
e
Marvell
Technology,
Inc
4.875
06/22/28
339,618‌
425,000
Micron
Technology,
Inc
4
.975
02/06/26
418,746‌
750,000
Micron
Technology,
Inc
4.185
02/15/27
718,578‌
1,000,000
Micron
Technology,
Inc
5.375
04/15/28
990,351‌
400,000
Micron
Technology,
Inc
5.327
02/06/29
393,819‌
1,000,000
Micron
Technology,
Inc
6.750
11/01/29
1,039,491‌
500,000
Micron
Technology,
Inc
4.663
02/15/30
471,476‌
1,000,000
Micron
Technology,
Inc
2.703
04/15/32
788,868‌
1,000,000
Micron
Technology,
Inc
5.875
02/09/33
995,003‌
1,000,000
Micron
Technology,
Inc
5.875
09/15/33
990,933‌
750,000
Micron
Technology,
Inc
3.366
11/01/41
523,137‌
750,000
Micron
Technology,
Inc
3.477
11/01/51
500,297‌
800,000
NVIDIA
Corp
3.200
09/16/26
770,167‌
Bond
Index
Fund
June
30,
2023
78
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT—continued
$
1,000,000
NVIDIA
Corp
1.550
%
06/15/28
$
872,725‌
750,000
NVIDIA
Corp
2.850
04/01/30
680,119‌
1,500,000
NVIDIA
Corp
2.000
06/15/31
1,256,274‌
1,000,000
NVIDIA
Corp
3.500
04/01/40
856,091‌
2,067,000
NVIDIA
Corp
3.500
04/01/50
1,679,711‌
300,000
g
NXP
BV
2.700
05/01/25
284,326‌
425,000
NXP
BV
5.350
03/01/26
422,137‌
750,000
NXP
BV
3.875
06/18/26
720,413‌
300,000
NXP
BV
3.150
05/01/27
275,450‌
175,000
NXP
BV
4.400
06/01/27
169,171‌
400,000
NXP
BV
5.550
12/01/28
402,480‌
750,000
NXP
BV
4.300
06/18/29
706,818‌
675,000
NXP
BV
3.400
05/01/30
597,218‌
2,000,000
NXP
BV
2.500
05/11/31
1,630,009‌
1,000,000
NXP
BV
2.650
02/15/32
809,518‌
500,000
NXP
BV
5.000
01/15/33
480,105‌
875,000
g
NXP
BV
3.250
05/11/41
636,850‌
325,000
NXP
BV
3.125
02/15/42
227,358‌
500,000
NXP
BV
3.250
11/30/51
333,286‌
2,000,000
g
Qorvo,
Inc
1.750
12/15/24
1,859,695‌
2,800,000
QUALCOMM,
Inc
3.250
05/20/27
2,651,353‌
1,339,000
QUALCOMM,
Inc
1.300
05/20/28
1,141,584‌
1,000,000
QUALCOMM,
Inc
2.150
05/20/30
859,739‌
2,384,000
QUALCOMM,
Inc
1.650
05/20/32
1,881,339‌
1,000,000
e
QUALCOMM,
Inc
5.400
05/20/33
1,052,932‌
750,000
QUALCOMM,
Inc
4.650
05/20/35
748,663‌
650,000
QUALCOMM,
Inc
4.800
05/20/45
630,977‌
1,525,000
QUALCOMM,
Inc
4.300
05/20/47
1,382,571‌
1,000,000
QUALCOMM,
Inc
4.500
05/20/52
909,684‌
1,000,000
QUALCOMM,
Inc
6.000
05/20/53
1,119,298‌
300,000
Skyworks
Solutions,
Inc
1.800
06/01/26
267,958‌
1,000,000
Skyworks
Solutions,
Inc
3.000
06/01/31
807,807‌
1,500,000
Texas
Instruments,
Inc
4.600
02/15/28
1,502,717‌
1,000,000
Texas
Instruments,
Inc
2.250
09/04/29
872,362‌
325,000
Texas
Instruments,
Inc
1.750
05/04/30
272,926‌
750,000
Texas
Instruments,
Inc
3.650
08/16/32
696,281‌
1,000,000
Texas
Instruments,
Inc
4.900
03/14/33
1,024,585‌
350,000
Texas
Instruments,
Inc
3.875
03/15/39
313,542‌
2,700,000
Texas
Instruments,
Inc
4
.150
05/15/48
2,452,401‌
1,000,000
e
Texas
Instruments,
Inc
2.700
09/15/51
693,185‌
1,000,000
Texas
Instruments,
Inc
5.000
03/14/53
1,013,089‌
300,000
Texas
Instruments,
Inc
5.050
05/18/63
300,595‌
550,000
TSMC
Arizona
Corp
1.750
10/25/26
493,293‌
350,000
TSMC
Arizona
Corp
3.875
04/22/27
336,945‌
1,000,000
TSMC
Arizona
Corp
4.125
04/22/29
953,913‌
1,000,000
TSMC
Arizona
Corp
2.500
10/25/31
838,331‌
1,000,000
TSMC
Arizona
Corp
4.250
04/22/32
969,230‌
1,000,000
TSMC
Arizona
Corp
3.125
10/25/41
798,761‌
1,000,000
e
TSMC
Arizona
Corp
3.250
10/25/51
768,382‌
500,000
TSMC
Arizona
Corp
4.500
04/22/52
483,250‌
475,000
Xilinx,
Inc
2.950
06/01/24
463,551‌
1,000,000
Xilinx,
Inc
2.375
06/01/30
863,260‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
132,461,256‌
SOFTWARE
&
SERVICES
-
0.7%
775,000
Adobe
Systems,
Inc
3.250
02/01/25
751,804‌
500,000
Adobe,
Inc
1.900
02/01/25
475,134‌
1,000,000
Adobe,
Inc
2.150
02/01/27
918,560‌
925,000
Adobe,
Inc
2.300
02/01/30
811,419‌
1,000,000
Amdocs
Ltd
2.538
06/15/30
834,978‌
250,000
Autodesk,
Inc
4.375
06/15/25
244,282‌
79
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SOFTWARE
&
SERVICES—continued
$
450,000
Autodesk,
Inc
3.500
%
06/15/27
$
426,125‌
750,000
Autodesk,
Inc
2.850
01/15/30
657,536‌
1,000,000
Autodesk,
Inc
2.400
12/15/31
818,287‌
1,000,000
CDW
LLC
3
.276
12/01/28
867,429‌
1,000,000
CGI,
Inc
1.450
09/14/26
883,301‌
1,000,000
CGI,
Inc
2.300
09/14/31
782,093‌
1,000,000
DXC
Technology
Co
1.800
09/15/26
869,132‌
1,000,000
Fortinet,
Inc
1.000
03/15/26
891,953‌
500,000
Genpact
Luxembourg
Sarl
3.375
12/01/24
481,911‌
1,000,000
Genpact
Luxembourg
Sarl
1.750
04/10/26
895,674‌
3,000,000
International
Business
Machines
Corp
3.000
05/15/24
2,931,990‌
1,000,000
International
Business
Machines
Corp
4.000
07/27/25
977,422‌
350,000
International
Business
Machines
Corp
3.450
02/19/26
334,602‌
2,500,000
International
Business
Machines
Corp
3.300
05/15/26
2,382,863‌
1,500,000
International
Business
Machines
Corp
2.200
02/09/27
1,363,815‌
1,000,000
International
Business
Machines
Corp
1.700
05/15/27
886,627‌
1,500,000
International
Business
Machines
Corp
4.500
02/06/28
1,470,489‌
2,675,000
International
Business
Machines
Corp
3.500
05/15/29
2,468,618‌
2,900,000
International
Business
Machines
Corp
1.950
05/15/30
2,402,237‌
1,500,000
International
Business
Machines
Corp
2.720
02/09/32
1,282,426‌
1,500,000
International
Business
Machines
Corp
4.750
02/06/33
1,471,684‌
1,850,000
International
Business
Machines
Corp
4.150
05/15/39
1,625,823‌
19,000
International
Business
Machines
Corp
5.600
11/30/39
19,510‌
450,000
International
Business
Machines
Corp
2.850
05/15/40
329,987‌
1,060,000
International
Business
Machines
Corp
4.000
06/20/42
895,240‌
1,500,000
International
Business
Machines
Corp
4.700
02/19/46
1,357,924‌
975,000
International
Business
Machines
Corp
2.950
05/15/50
653,065‌
1,500,000
International
Business
Machines
Corp
3.430
02/09/52
1,089,276‌
1,000,000
International
Business
Machines
Corp
4.900
07/27/52
934,853‌
1,000,000
International
Business
Machines
Corp
5.100
02/06/53
963,050‌
300,000
Intuit,
Inc
0.950
07/15/25
274,126‌
350,000
Intuit,
Inc
1.350
07/15/27
306,713‌
350,000
Intuit,
Inc
1.650
07/15/30
283,916‌
900,000
g
IQVIA,
Inc
5.700
05/15/28
891,000‌
750,000
Kyndryl
Holdings,
Inc
2.050
10/15/26
647,183‌
750,000
Kyndryl
Holdings,
Inc
2.700
10/15/28
610,264‌
750,000
Kyndryl
Holdings,
Inc
3.150
10/15/31
562,747‌
750,000
Kyndryl
Holdings,
Inc
4.100
10/15/41
501,081‌
975,000
Microsoft
Corp
2.700
02/12/25
940,291‌
1,075,000
Microsoft
Corp
3.125
11/03/25
1,034,788‌
2,925,000
Microsoft
Corp
2.400
08/08/26
2,745,094‌
8,739,000
Microsoft
Corp
3.300
02/06/27
8,403,850‌
150,000
e
Microsoft
Corp
3.500
02/12/35
140,323‌
1,072,000
Microsoft
Corp
3.450
08/08/36
977,761‌
8,038,000
Microsoft
Corp
2.525
06/01/50
5,560,250‌
6,265,000
Microsoft
Corp
2.921
03/17/52
4,660,956‌
7,374,000
Microsoft
Corp
2.675
06/01/60
4,945,293‌
1,073,000
Microsoft
Corp
3.041
03/17/62
782,427‌
1,225,000
Oracle
Corp
3.400
07/08/24
1,194,290‌
900,000
Oracle
Corp
2.950
11/15/24
869,096‌
6,500,000
Oracle
Corp
2.500
04/01/25
6,169,394‌
1,650,000
Oracle
Corp
2.950
05/15/25
1,573,763‌
3,000,000
Oracle
Corp
1.650
03/25/26
2,722,654‌
2,884,000
Oracle
Corp
2.650
07/15/26
2,666,189‌
2,000,000
Oracle
Corp
4.500
05/06/28
1,945,905‌
1,500,000
Oracle
Corp
6.150
11/09/29
1,562,351‌
1,000,000
Oracle
Corp
2.950
04/01/30
872,866‌
1,500,000
Oracle
Corp
4.650
05/06/30
1,449,297‌
400,000
Oracle
Corp
3.250
05/15/30
356,757‌
3,000,000
Oracle
Corp
2.875
03/25/31
2,561,137‌
1,500,000
Oracle
Corp
6.250
11/09/32
1,592,238‌
Bond
Index
Fund
June
30,
2023
80
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SOFTWARE
&
SERVICES—continued
$
1,750,000
Oracle
Corp
4.900
%
02/06/33
$
1,698,733‌
2,497,000
Oracle
Corp
4.300
07/08/34
2,267,685‌
650,000
Oracle
Corp
3.900
05/15/35
560,855‌
1,225,000
Oracle
Corp
3.850
07/15/36
1,022,371‌
4,000,000
Oracle
Corp
3.800
11/15/37
3,270,422‌
100,000
Oracle
Corp
6.500
04/15/38
106,462‌
470,000
Oracle
Corp
6.125
07/08/39
484,902‌
675,000
Oracle
Corp
3.600
04/01/40
522,185‌
325,000
Oracle
Corp
5.375
07/15/40
310,166‌
2,000,000
Oracle
Corp
3.650
03/25/41
1,540,858‌
500,000
Oracle
Corp
4.500
07/08/44
417,859‌
325,000
Oracle
Corp
4.125
05/15/45
254,681‌
2,025,000
Oracle
Corp
4.000
07/15/46
1,556,438‌
3,100,000
Oracle
Corp
4.000
11/15/47
2,386,641‌
7,350,000
Oracle
Corp
3.600
04/01/50
5,252,009‌
2,000,000
Oracle
Corp
3.950
03/25/51
1,512,244‌
1,500,000
Oracle
Corp
6.900
11/09/52
1,683,552‌
2,375,000
Oracle
Corp
5.550
02/06/53
2,299,815‌
500,000
Oracle
Corp
4
.375
05/15/55
399,796‌
1,500,000
Oracle
Corp
3.850
04/01/60
1,057,189‌
2,000,000
Oracle
Corp
4.100
03/25/61
1,475,812‌
500,000
Roper
Technologies,
Inc
2.350
09/15/24
479,470‌
750,000
Roper
Technologies,
Inc
1
.000
09/15/25
681,924‌
1,100,000
Roper
Technologies,
Inc
3.800
12/15/26
1,051,712‌
300,000
Roper
Technologies,
Inc
4.200
09/15/28
287,844‌
500,000
Roper
Technologies,
Inc
2.950
09/15/29
442,019‌
475,000
Roper
Technologies,
Inc
2.000
06/30/30
388,215‌
750,000
Roper
Technologies,
Inc
1.750
02/15/31
594,939‌
925,000
salesforce.com,
Inc
3.700
04/11/28
892,020‌
2,000,000
salesforce.com,
Inc
1.500
07/15/28
1,722,993‌
1,250,000
salesforce.com,
Inc
1.950
07/15/31
1,031,477‌
1,075,000
salesforce.com,
Inc
2.700
07/15/41
789,808‌
1,000,000
salesforce.com,
Inc
2.900
07/15/51
703,000‌
2,000,000
e
salesforce.com,
Inc
3.050
07/15/61
1,356,491‌
1,000,000
ServiceNow,
Inc
1.400
09/01/30
791,760‌
1,000,000
TD
SYNNEX
Corp
1.750
08/09/26
871,562‌
1,000,000
TD
SYNNEX
Corp
2.375
08/09/28
819,439‌
1,000,000
TD
SYNNEX
Corp
2.650
08/09/31
766,743‌
750,000
VeriSign,
Inc
2.700
06/15/31
624,253‌
500,000
VMware,
Inc
4.500
05/15/25
489,692‌
1,500,000
VMware,
Inc
1.400
08/15/26
1,324,563‌
725,000
VMware,
Inc
3.900
08/21/27
687,318‌
1,500,000
VMware,
Inc
1.800
08/15/28
1,257,222‌
1,000,000
VMware,
Inc
4.700
05/15/30
954,345‌
1,150,000
VMware,
Inc
2.200
08/15/31
903,670‌
500,000
Western
Union
Co
2.850
01/10/25
475,578‌
1,000,000
Western
Union
Co
1.350
03/15/26
886,286‌
1,000,000
Western
Union
Co
2.750
03/15/31
788,501‌
1,500,000
Workday,
Inc
3.500
04/01/27
1,421,773‌
1,500,000
e
Workday,
Inc
3.700
04/01/29
1,391,035‌
TOTAL
SOFTWARE
&
SERVICES
152,211,446‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
0.6%
200,000
Amphenol
Corp
3.200
04/01/24
196,127‌
250,000
Amphenol
Corp
2.050
03/01/25
235,958‌
450,000
Amphenol
Corp
4.350
06/01/29
435,614‌
1,000,000
Amphenol
Corp
2.800
02/15/30
875,671‌
1,000,000
Amphenol
Corp
2.200
09/15/31
814,229‌
2,725,000
Apple,
Inc
3.450
05/06/24
2,684,497‌
2,000,000
Apple,
Inc
1.125
05/11/25
1,863,376‌
1,125,000
Apple,
Inc
3
.200
05/13/25
1,088,360‌
81
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TECHNOLOGY
HARDWARE
&
EQUIPMENT—continued
$
3,000,000
Apple,
Inc
0.700
%
02/08/26
$
2,704,422‌
2,825,000
Apple,
Inc
3.250
02/23/26
2,720,561‌
1,425,000
Apple,
Inc
2.450
08/04/26
1,333,947‌
3,250,000
Apple,
Inc
2.050
09/11/26
2,994,833‌
1,075,000
Apple,
Inc
3.350
02/09/27
1,032,274‌
275,000
Apple,
Inc
3.200
05/11/27
262,433‌
3,675,000
Apple,
Inc
3.000
11/13/27
3,462,452‌
3,000,000
e
Apple,
Inc
1.200
02/08/28
2,600,115‌
1,500,000
Apple,
Inc
4.000
05/10/28
1,475,631‌
2,500,000
Apple,
Inc
1.400
08/05/28
2,157,858‌
1,000,000
Apple,
Inc
3.250
08/08/29
938,147‌
1,000,000
Apple,
Inc
2.200
09/11/29
877,369‌
1,000,000
Apple,
Inc
4.150
05/10/30
984,184‌
2,950,000
Apple,
Inc
1.650
05/11/30
2,483,581‌
3,000,000
Apple,
Inc
1.250
08/20/30
2,435,679‌
3,000,000
Apple,
Inc
1.650
02/08/31
2,486,731‌
2,500,000
e
Apple,
Inc
1.700
08/05/31
2,064,104‌
1,000,000
e
Apple,
Inc
3.350
08/08/32
932,558‌
1,500,000
e
Apple,
Inc
4.300
05/10/33
1,491,898‌
1,600,000
e
Apple,
Inc
4.500
02/23/36
1,626,844‌
2,000,000
Apple,
Inc
2.375
02/08/41
1,475,015‌
350,000
Apple,
Inc
3.850
05/04/43
312,317‌
750,000
Apple,
Inc
4.450
05/06/44
730,711‌
1,350,000
Apple,
Inc
3.450
02/09/45
1,138,187‌
1,000,000
Apple,
Inc
4.375
05/13/45
949,651‌
1,775,000
Apple,
Inc
4.650
02/23/46
1,751,112‌
900,000
Apple,
Inc
3.850
08/04/46
792,330‌
1,175,000
Apple,
Inc
4.250
02/09/47
1,120,180‌
900,000
Apple,
Inc
3.750
09/12/47
777,813‌
2,850,000
Apple,
Inc
3.750
11/13/47
2,466,891‌
3,000,000
Apple,
Inc
2.950
09/11/49
2,231,118‌
3,350,000
Apple,
Inc
2.650
05/11/50
2,331,985‌
1,375,000
Apple,
Inc
2.400
08/20/50
920,833‌
1,000,000
Apple,
Inc
2.650
02/08/51
690,745‌
1,000,000
Apple,
Inc
2.700
08/05/51
696,547‌
750,000
Apple,
Inc
3.950
08/08/52
661,012‌
1,000,000
e
Apple,
Inc
4.850
05/10/53
1,024,765‌
25,000
e
Apple,
Inc
2.550
08/20/60
16,496‌
2,000,000
Apple,
Inc
2.800
02/08/61
1,351,101‌
1,000,000
Apple,
Inc
2.850
08/05/61
680,553‌
750,000
Apple,
Inc
4.100
08/08/62
656,511‌
425,000
Arrow
Electronics,
Inc
3.250
09/08/24
410,085‌
200,000
Arrow
Electronics,
Inc
4.000
04/01/25
192,029‌
425,000
Arrow
Electronics,
Inc
3.875
01/12/28
392,063‌
1,000,000
Arrow
Electronics,
Inc
2.950
02/15/32
825,252‌
200,000
Avnet,
Inc
4.625
04/15/26
194,240‌
1,000,000
Avnet,
Inc
6.250
03/15/28
1,009,552‌
1,000,000
Avnet,
Inc
3.000
05/15/31
796,958‌
575,000
CDW
LLC
3.569
12/01/31
485,197‌
1,100,000
Cisco
Systems,
Inc
3.625
03/04/24
1,086,557‌
400,000
Cisco
Systems,
Inc
3.500
06/15/25
388,201‌
500,000
Cisco
Systems,
Inc
2.950
02/28/26
479,939‌
3,000,000
Cisco
Systems,
Inc
2.500
09/20/26
2,810,284‌
1,000,000
Cisco
Systems,
Inc
5.900
02/15/39
1,106,216‌
1,175,000
Cisco
Systems,
Inc
5.500
01/15/40
1,249,416‌
200,000
Corning,
Inc
4.700
03/15/37
185,308‌
100,000
Corning,
Inc
5.750
08/15/40
100,797‌
200,000
Corning,
Inc
4.750
03/15/42
182,581‌
300,000
Corning,
Inc
5.350
11/15/48
289,610‌
500,000
Corning,
Inc
3
.900
11/15/49
374,173‌
825,000
Corning,
Inc
4.375
11/15/57
668,216‌
Bond
Index
Fund
June
30,
2023
82
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TECHNOLOGY
HARDWARE
&
EQUIPMENT—continued
$
200,000
Corning,
Inc
5.850
%
11/15/68
$
191,713‌
1,000,000
Corning,
Inc
5.450
11/15/79
903,266‌
875,000
Dell
International
LLC
4.000
07/15/24
860,373‌
2,925,000
Dell
International
LLC
6.020
06/15/26
2,972,997‌
1,050,000
Dell
International
LLC
4.900
10/01/26
1,042,538‌
2,900,000
Dell
International
LLC
5.300
10/01/29
2,878,856‌
608,000
Dell
International
LLC
8.100
07/15/36
711,335‌
2,000,000
g
Dell
International
LLC
3.375
12/15/41
1,410,360‌
377,000
Dell
International
LLC
8.350
07/15/46
462,319‌
2,000,000
g
Dell
International
LLC
3.450
12/15/51
1,341,327‌
800,000
Flex
Ltd
4.750
06/15/25
781,056‌
500,000
Flex
Ltd
3.750
02/01/26
475,186‌
500,000
Flex
Ltd
6.000
01/15/28
507,788‌
1,000,000
Flex
Ltd
4.875
05/12/30
965,793‌
3,000,000
Hewlett
Packard
Enterprise
Co
4.900
10/15/25
2,962,689‌
2,000,000
Hewlett
Packard
Enterprise
Co
5.250
07/01/28
1,980,762‌
225,000
Hewlett
Packard
Enterprise
Co
6.200
10/15/35
235,666‌
1,175,000
Hewlett
Packard
Enterprise
Co
6.350
10/15/45
1,224,414‌
1,000,000
HP,
Inc
2.200
06/17/25
940,580‌
1,000,000
HP,
Inc
1.450
06/17/26
897,321‌
1,000,000
HP,
Inc
3.000
06/17/27
922,450‌
500,000
HP,
Inc
4.750
01/15/28
487,057‌
1,000,000
HP,
Inc
4.000
04/15/29
931,578‌
1,000,000
HP,
Inc
3.400
06/17/30
879,547‌
1,000,000
HP,
Inc
2.650
06/17/31
806,100‌
500,000
HP,
Inc
4.200
04/15/32
448,436‌
500,000
HP,
Inc
5.500
01/15/33
491,068‌
975,000
e
HP,
Inc
6.000
09/15/41
985,880‌
1,000,000
Jabil,
Inc
1.700
04/15/26
894,736‌
1,000,000
Jabil,
Inc
4.250
05/15/27
951,849‌
100,000
e
Jabil,
Inc
3.950
01/12/28
93,342‌
1,000,000
Jabil,
Inc
5.450
02/01/29
992,279‌
750,000
Jabil,
Inc
3.600
01/15/30
670,895‌
50,000
Jabil,
Inc
3.000
01/15/31
42,486‌
1,500,000
Juniper
Networks,
Inc
1.200
12/10/25
1,342,969‌
200,000
Keysight
Technologies,
Inc
4.550
10/30/24
196,612‌
600,000
Keysight
Technologies,
Inc
4.600
04/06/27
590,394‌
500,000
Keysight
Technologies,
Inc
3.000
10/30/29
437,946‌
20,000
e
Motorola
Solutions,
Inc
4.000
09/01/24
19,527‌
450,000
Motorola
Solutions,
Inc
4.600
02/23/28
436,420‌
500,000
Motorola
Solutions,
Inc
4.600
05/23/29
484,086‌
600,000
Motorola
Solutions,
Inc
2.300
11/15/30
484,658‌
2,250,000
Motorola
Solutions,
Inc
2.750
05/24/31
1,843,334‌
500,000
Motorola
Solutions,
Inc
5.600
06/01/32
495,442‌
200,000
Motorola
Solutions,
Inc
5.500
09/01/44
189,845‌
200,000
NetApp,
Inc
3.300
09/29/24
193,642‌
500,000
NetApp,
Inc
1.875
06/22/25
464,576‌
500,000
NetApp,
Inc
2.375
06/22/27
453,439‌
750,000
NetApp,
Inc
2.700
06/22/30
630,306‌
2,000,000
Teledyne
Technologies,
Inc
1.600
04/01/26
1,806,658‌
200,000
Tyco
Electronics
Group
S.A.
3
.450
08/01/24
195,218‌
100,000
Tyco
Electronics
Group
S.A.
3.700
02/15/26
96,456‌
1,150,000
Tyco
Electronics
Group
S.A.
3.125
08/15/27
1,076,562‌
900,000
Tyco
Electronics
Group
S.A.
2.500
02/04/32
754,768‌
1,000,000
Vontier
Corp
1.800
04/01/26
887,858‌
1,000,000
Vontier
Corp
2.400
04/01/28
832,770‌
1,000,000
Vontier
Corp
2.950
04/01/31
799,468‌
1,000,000
Western
Digital
Corp
2.850
02/01/29
798,969‌
1,000,000
Western
Digital
Corp
3.100
02/01/32
740,067‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
130,858,032‌
83
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TELECOMMUNICATION
SERVICES
-
1.1%
$
2,000,000
America
Movil
SAB
de
C.V.
3.625
%
04/22/29
$
1,839,614‌
2,000,000
America
Movil
SAB
de
C.V.
2.875
05/07/30
1,738,148‌
440,000
America
Movil
SAB
de
C.V.
6.125
03/30/40
468,148‌
1,625,000
America
Movil
SAB
de
C.V.
4.375
07/16/42
1,425,657‌
1,500,000
e
America
Movil
SAB
de
C.V.
4.375
04/22/49
1,301,525‌
10,000,000
AT&T,
Inc
1.700
03/25/26
9,114,917‌
1,000,000
AT&T,
Inc
2.950
07/15/26
940,457‌
1,000,000
AT&T,
Inc
2.300
06/01/27
899,362‌
1,150,000
AT&T,
Inc
1.650
02/01/28
988,336‌
4,375,000
AT&T,
Inc
4.350
03/01/29
4,202,850‌
1,000,000
AT&T,
Inc
4.300
02/15/30
949,224‌
3,000,000
AT&T,
Inc
2.250
02/01/32
2,382,898‌
10,855,000
AT&T,
Inc
2.550
12/01/33
8,526,342‌
3,000,000
AT&T,
Inc
5
.400
02/15/34
3,005,153‌
1,825,000
AT&T,
Inc
4.500
05/15/35
1,677,727‌
3,000,000
AT&T,
Inc
3.500
06/01/41
2,303,053‌
300,000
AT&T,
Inc
4.650
06/01/44
261,360‌
2,000,000
AT&T,
Inc
3.650
06/01/51
1,468,240‌
9,860,000
AT&T,
Inc
3.500
09/15/53
6,980,049‌
8,857,000
AT&T,
Inc
3.550
09/15/55
6,200,482‌
6,844,000
AT&T,
Inc
3.800
12/01/57
4,955,039‌
7,523,000
AT&T,
Inc
3.650
09/15/59
5,237,656‌
1,000,000
AT&T,
Inc
3.850
06/01/60
724,028‌
1,000,000
Bell
Canada
3.650
03/17/51
760,124‌
750,000
Bell
Canada,
Inc
4.464
04/01/48
650,661‌
750,000
Bell
Canada,
Inc
4.300
07/29/49
634,464‌
1,000,000
Bell
Telephone
Co
of
Canada
or
Bell
Canada
2.150
02/15/32
803,630‌
500,000
Bell
Telephone
Co
of
Canada
or
Bell
Canada
5.100
05/11/33
493,864‌
450,000
Bell
Telephone
Co
of
Canada
or
Bell
Canada
3.200
02/15/52
309,943‌
1,000,000
Bell
Telephone
Co
of
Canada
or
Bell
Canada
3.650
08/15/52
758,631‌
1,750,000
British
Telecommunications
plc
5.125
12/04/28
1,720,859‌
1,425,000
British
Telecommunications
plc
9.625
12/15/30
1,753,277‌
750,000
Crown
Castle,
Inc
5.000
01/11/28
736,025‌
1,000,000
Crown
Castle,
Inc
4.800
09/01/28
970,038‌
1,000,000
Crown
Castle,
Inc
5.100
05/01/33
982,684‌
2,690,000
Deutsche
Telekom
International
Finance
BV
8.750
06/15/30
3,221,501‌
745,000
Orange
S.A.
9.000
03/01/31
915,033‌
900,000
Orange
S.A.
5.375
01/13/42
893,435‌
1,725,000
Orange
S.A.
5.500
02/06/44
1,749,248‌
1,713,000
Rogers
Communications,
Inc
3.625
12/15/25
1,620,662‌
200,000
Rogers
Communications,
Inc
2.900
11/15/26
183,313‌
2,000,000
g
Rogers
Communications,
Inc
3.200
03/15/27
1,859,390‌
1,500,000
g
Rogers
Communications,
Inc
3.800
03/15/32
1,311,183‌
1,000,000
g
Rogers
Communications,
Inc
4.500
03/15/42
830,102‌
125,000
Rogers
Communications,
Inc
4.500
03/15/43
103,805‌
300,000
Rogers
Communications,
Inc
5.450
10/01/43
274,762‌
600,000
Rogers
Communications,
Inc
5.000
03/15/44
527,574‌
150,000
Rogers
Communications,
Inc
4.300
02/15/48
116,692‌
1,500,000
Rogers
Communications,
Inc
4.350
05/01/49
1,184,705‌
1,300,000
Rogers
Communications,
Inc
3.700
11/15/49
920,515‌
1,500,000
g
Rogers
Communications,
Inc
4.550
03/15/52
1,206,335‌
2,000,000
Sprint
Capital
Corp
6.875
11/15/28
2,119,987‌
2,000,000
Sprint
Capital
Corp
8.750
03/15/32
2,417,214‌
1,000,000
Sprint
Corp
7.625
02/15/25
1,021,466‌
2,000,000
Sprint
Corp
7.625
03/01/26
2,077,548‌
1,500,000
Telefonica
Emisiones
SAU
4.103
03/08/27
1,439,155‌
625,000
Telefonica
Emisiones
SAU
7.045
06/20/36
681,591‌
1,200,000
Telefonica
Emisiones
SAU
4.665
03/06/38
1,015,824‌
2,125,000
Telefonica
Emisiones
SAU
5.213
03/08/47
1,848,195‌
1,175,000
Telefonica
Emisiones
SAU
4.895
03/06/48
980,663‌
900,000
Telefonica
Emisiones
SAU
5.520
03/01/49
808,876‌
Bond
Index
Fund
June
30,
2023
84
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TELECOMMUNICATION
SERVICES—continued
$
567,000
Telefonica
Europe
BV
8.250
%
09/15/30
$
655,182‌
325,000
TELUS
Corp
2.800
02/16/27
300,346‌
300,000
TELUS
Corp
3.700
09/15/27
282,156‌
1,000,000
TELUS
Corp
3.400
05/13/32
855,827‌
500,000
TELUS
Corp
4.600
11/16/48
429,712‌
750,000
TELUS
Corp
4.300
06/15/49
611,130‌
4,000,000
T-Mobile
USA,
Inc
1.500
02/15/26
3,614,389‌
1,000,000
T-Mobile
USA,
Inc
2.625
04/15/26
926,747‌
4,000,000
T-Mobile
USA,
Inc
3.750
04/15/27
3,786,423‌
3,500,000
T-Mobile
USA,
Inc
2.050
02/15/28
3,034,800‌
1,500,000
T-Mobile
USA,
Inc
4.950
03/15/28
1,476,095‌
1,000,000
T-Mobile
USA,
Inc
4.800
07/15/28
979,340‌
1,000,000
T-Mobile
USA,
Inc
2
.625
02/15/29
868,528‌
1,000,000
T-Mobile
USA,
Inc
2.400
03/15/29
859,506‌
1,000,000
T-Mobile
USA,
Inc
3.375
04/15/29
903,048‌
825,000
T-Mobile
USA,
Inc
3.875
04/15/30
760,047‌
1,500,000
T-Mobile
USA,
Inc
2
.550
02/15/31
1,246,816‌
1,500,000
T-Mobile
USA,
Inc
2.250
11/15/31
1,200,058‌
1,000,000
T-Mobile
USA,
Inc
2.700
03/15/32
826,030‌
4,000,000
T-Mobile
USA,
Inc
5.200
01/15/33
3,974,283‌
1,425,000
T-Mobile
USA,
Inc
5.050
07/15/33
1,399,205‌
650,000
T-Mobile
USA,
Inc
4.375
04/15/40
574,010‌
1,350,000
T-Mobile
USA,
Inc
3.000
02/15/41
986,997‌
3,875,000
T-Mobile
USA,
Inc
4.500
04/15/50
3,324,928‌
2,500,000
T-Mobile
USA,
Inc
3.300
02/15/51
1,753,726‌
2,500,000
T-Mobile
USA,
Inc
3.400
10/15/52
1,784,140‌
4,000,000
T-Mobile
USA,
Inc
5.650
01/15/53
4,061,601‌
1,500,000
T-Mobile
USA,
Inc
3.600
11/15/60
1,052,758‌
2,000,000
T-Mobile
USA,
Inc
5.800
09/15/62
2,032,098‌
1,000,000
Verizon
Communications,
Inc
0.850
11/20/25
902,005‌
1,000,000
Verizon
Communications,
Inc
1.450
03/20/26
906,744‌
1,000,000
Verizon
Communications,
Inc
4
.125
03/16/27
970,943‌
2,625,000
Verizon
Communications,
Inc
3.000
03/22/27
2,449,416‌
5,000,000
Verizon
Communications,
Inc
2.100
03/22/28
4,392,363‌
4,641,000
Verizon
Communications,
Inc
4.329
09/21/28
4,473,942‌
350,000
Verizon
Communications,
Inc
3.875
02/08/29
328,260‌
9,005,000
Verizon
Communications,
Inc
4.016
12/03/29
8,431,235‌
200,000
Verizon
Communications,
Inc
3.150
03/22/30
177,718‌
1,550,000
Verizon
Communications,
Inc
1.500
09/18/30
1,224,966‌
1,533,000
Verizon
Communications,
Inc
1.680
10/30/30
1,210,276‌
3,000,000
Verizon
Communications,
Inc
1.750
01/20/31
2,366,802‌
3,925,000
Verizon
Communications,
Inc
2.550
03/21/31
3,277,112‌
11,355,000
Verizon
Communications,
Inc
2.355
03/15/32
9,132,649‌
1,000,000
Verizon
Communications,
Inc
5.050
05/09/33
988,872‌
2,000,000
Verizon
Communications,
Inc
2.650
11/20/40
1,391,191‌
1,350,000
Verizon
Communications,
Inc
3.400
03/22/41
1,041,939‌
1,000,000
Verizon
Communications,
Inc
2.850
09/03/41
711,225‌
150,000
Verizon
Communications,
Inc
4.000
03/22/50
121,706‌
2,000,000
Verizon
Communications,
Inc
2.875
11/20/50
1,302,975‌
3,725,000
Verizon
Communications,
Inc
3.550
03/22/51
2,778,658‌
1,000,000
Verizon
Communications,
Inc
3.875
03/01/52
788,266‌
8,764,000
Verizon
Communications,
Inc
2.987
10/30/56
5,566,551‌
2,000,000
Verizon
Communications,
Inc
3.000
11/20/60
1,249,276‌
6,000,000
Verizon
Communications,
Inc
3.700
03/22/61
4,363,320‌
2,000,000
Vodafone
Group
plc
4.125
05/30/25
1,951,423‌
425,000
Vodafone
Group
plc
6.150
02/27/37
444,844‌
1,900,000
Vodafone
Group
plc
4.375
02/19/43
1,595,587‌
1,000,000
Vodafone
Group
plc
4.875
06/19/49
885,715‌
1,500,000
Vodafone
Group
plc
4.250
09/17/50
1,202,660‌
825,000
Vodafone
Group
plc
5.625
02/10/53
808,770‌
500,000
Vodafone
Group
plc
5.125
06/19/59
442,895‌
85
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TELECOMMUNICATION
SERVICES—continued
$
1,500,000
Vodafone
Group
plc
5.750
%
02/10/63
$
1,450,445‌
TOTAL
TELECOMMUNICATION
SERVICES
223,383,914‌
TRANSPORTATION
-
0.5%
389,275
American
Airlines
2.875
07/11/34
325,072‌
150,000
Burlington
Northern
Santa
Fe
LLC
3.400
09/01/24
146,210‌
300,000
Burlington
Northern
Santa
Fe
LLC
3.000
04/01/25
288,736‌
700,000
Burlington
Northern
Santa
Fe
LLC
3.650
09/01/25
678,420‌
660,000
Burlington
Northern
Santa
Fe
LLC
5.750
05/01/40
698,042‌
250,000
Burlington
Northern
Santa
Fe
LLC
5.050
03/01/41
246,167‌
200,000
Burlington
Northern
Santa
Fe
LLC
4.400
03/15/42
181,125‌
300,000
Burlington
Northern
Santa
Fe
LLC
4.450
03/15/43
272,542‌
500,000
Burlington
Northern
Santa
Fe
LLC
5.150
09/01/43
494,799‌
500,000
Burlington
Northern
Santa
Fe
LLC
4.900
04/01/44
483,593‌
600,000
Burlington
Northern
Santa
Fe
LLC
4.550
09/01/44
552,363‌
1,275,000
Burlington
Northern
Santa
Fe
LLC
4.150
04/01/45
1,109,037‌
200,000
Burlington
Northern
Santa
Fe
LLC
4.700
09/01/45
185,729‌
1,150,000
Burlington
Northern
Santa
Fe
LLC
3.900
08/01/46
950,106‌
400,000
Burlington
Northern
Santa
Fe
LLC
4.125
06/15/47
345,487‌
1,675,000
Burlington
Northern
Santa
Fe
LLC
4.050
06/15/48
1,435,250‌
1,025,000
Burlington
Northern
Santa
Fe
LLC
4.150
12/15/48
893,143‌
750,000
Burlington
Northern
Santa
Fe
LLC
3.550
02/15/50
594,970‌
750,000
Burlington
Northern
Santa
Fe
LLC
3.050
02/15/51
531,300‌
4,000,000
Burlington
Northern
Santa
Fe
LLC
3.300
09/15/51
2,985,054‌
1,000,000
Burlington
Northern
Santa
Fe
LLC
4.450
01/15/53
914,997‌
1,500,000
Burlington
Northern
Santa
Fe
LLC
5.200
04/15/54
1,529,867‌
200,000
Canadian
National
Railway
Co
2.950
11/21/24
192,981‌
200,000
Canadian
National
Railway
Co
6.900
07/15/28
217,891‌
500,000
Canadian
National
Railway
Co
3.850
08/05/32
465,416‌
200,000
Canadian
National
Railway
Co
6.250
08/01/34
220,102‌
250,000
Canadian
National
Railway
Co
3.500
11/15/42
192,185‌
100,000
Canadian
National
Railway
Co
4.500
11/07/43
87,119‌
650,000
Canadian
National
Railway
Co
3.200
08/02/46
480,852‌
725,000
Canadian
National
Railway
Co
3.650
02/03/48
583,856‌
325,000
Canadian
National
Railway
Co
4.450
01/20/49
296,585‌
400,000
Canadian
National
Railway
Co
2.450
05/01/50
254,620‌
1,500,000
Canadian
National
Railway
Co
4.400
08/05/52
1,374,605‌
1,800,000
Canadian
Pacific
Railway
Co
2.900
02/01/25
1,728,158‌
100,000
Canadian
Pacific
Railway
Co
3.125
06/01/26
93,554‌
2,000,000
Canadian
Pacific
Railway
Co
1.750
12/02/26
1,797,734‌
300,000
Canadian
Pacific
Railway
Co
4.000
06/01/28
286,770‌
500,000
Canadian
Pacific
Railway
Co
2.875
11/15/29
441,415‌
100,000
Canadian
Pacific
Railway
Co
2.050
03/05/30
83,884‌
200,000
Canadian
Pacific
Railway
Co
7.125
10/15/31
226,272‌
600,000
Canadian
Pacific
Railway
Co
2.450
12/02/31
525,514‌
250,000
Canadian
Pacific
Railway
Co
5.950
05/15/37
263,047‌
475,000
Canadian
Pacific
Railway
Co
3.000
12/02/41
388,539‌
100,000
Canadian
Pacific
Railway
Co
4.300
05/15/43
86,000‌
175,000
Canadian
Pacific
Railway
Co
4.950
08/15/45
163,892‌
800,000
Canadian
Pacific
Railway
Co
4.700
05/01/48
726,412‌
500,000
Canadian
Pacific
Railway
Co
3.500
05/01/50
382,296‌
1,000,000
Canadian
Pacific
Railway
Co
3.100
12/02/51
708,759‌
500,000
Canadian
Pacific
Railway
Co
4.200
11/15/69
391,813‌
1,275,000
Canadian
Pacific
Railway
Co
6.125
09/15/15
1,316,624‌
400,000
CH
Robinson
Worldwide,
Inc
4.200
04/15/28
383,075‌
300,000
CSX
Corp
3.400
08/01/24
292,882‌
200,000
CSX
Corp
3.350
11/01/25
190,983‌
1,200,000
CSX
Corp
2.600
11/01/26
1,109,761‌
825,000
CSX
Corp
4.250
03/15/29
798,612‌
600,000
CSX
Corp
2.400
02/15/30
517,941‌
850,000
CSX
Corp
4.100
11/15/32
804,052‌
Bond
Index
Fund
June
30,
2023
86
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TRANSPORTATION—continued
$
100,000
CSX
Corp
6.000
%
10/01/36
$
105,278‌
200,000
CSX
Corp
6.150
05/01/37
215,260‌
400,000
CSX
Corp
5.500
04/15/41
404,842‌
350,000
CSX
Corp
4.400
03/01/43
305,139‌
600,000
CSX
Corp
4.100
03/15/44
515,649‌
800,000
CSX
Corp
3.800
11/01/46
642,859‌
1,050,000
CSX
Corp
4.300
03/01/48
913,612‌
850,000
CSX
Corp
4.750
11/15/48
786,342‌
500,000
CSX
Corp
4.500
03/15/49
446,750‌
600,000
CSX
Corp
3.350
09/15/49
442,628‌
1,000,000
CSX
Corp
3.800
04/15/50
797,508‌
200,000
CSX
Corp
3.950
05/01/50
162,838‌
800,000
CSX
Corp
2.500
05/15/51
507,928‌
750,000
CSX
Corp
4.500
11/15/52
677,407‌
300,000
CSX
Corp
4.500
08/01/54
265,533‌
150,000
CSX
Corp
4.250
11/01/66
123,480‌
800,000
CSX
Corp
4.650
03/01/68
715,993‌
500,000
FedEx
Corp
3.250
04/01/26
478,105‌
500,000
FedEx
Corp
4.200
10/17/28
481,174‌
1,000,000
FedEx
Corp
3.100
08/05/29
899,983‌
500,000
FedEx
Corp
4.250
05/15/30
477,726‌
1,500,000
FedEx
Corp
2.400
05/15/31
1,244,705‌
1,000,000
FedEx
Corp
4.900
01/15/34
977,653‌
200,000
FedEx
Corp
3.900
02/01/35
176,112‌
2,000,000
FedEx
Corp
3.250
05/15/41
1,493,327‌
275,000
FedEx
Corp
5.100
01/15/44
256,017‌
1,100,000
FedEx
Corp
4.750
11/15/45
977,596‌
600,000
FedEx
Corp
4.550
04/01/46
517,649‌
450,000
FedEx
Corp
4.400
01/15/47
380,472‌
900,000
FedEx
Corp
4.050
02/15/48
719,071‌
500,000
FedEx
Corp
4.950
10/17/48
458,959‌
1,500,000
FedEx
Corp
5.250
05/15/50
1,441,501‌
200,000
FedEx
Corp
4.500
02/01/65
152,851‌
1,000,000
GXO
Logistics,
Inc
1.650
07/15/26
869,537‌
500,000
JB
Hunt
Transport
Services,
Inc
3.875
03/01/26
482,115‌
350,000
Kirby
Corp
4.200
03/01/28
326,324‌
350,000
Norfolk
Southern
Corp
2.900
06/15/26
329,203‌
300,000
Norfolk
Southern
Corp
3.150
06/01/27
281,005‌
700,000
Norfolk
Southern
Corp
3.800
08/01/28
661,939‌
1,000,000
Norfolk
Southern
Corp
3.000
03/15/32
860,611‌
1,000,000
Norfolk
Southern
Corp
4.450
03/01/33
956,849‌
16,000
Norfolk
Southern
Corp
4.837
10/01/41
14,799‌
300,000
Norfolk
Southern
Corp
4.450
06/15/45
259,778‌
200,000
Norfolk
Southern
Corp
4.650
01/15/46
179,137‌
303,000
Norfolk
Southern
Corp
3.942
11/01/47
244,792‌
1,450,000
Norfolk
Southern
Corp
4.150
02/28/48
1,218,052‌
500,000
Norfolk
Southern
Corp
4.100
05/15/49
418,973‌
500,000
Norfolk
Southern
Corp
3.400
11/01/49
368,370‌
1,000,000
Norfolk
Southern
Corp
3.050
05/15/50
691,376‌
1,000,000
Norfolk
Southern
Corp
2.900
08/25/51
661,822‌
175,000
Norfolk
Southern
Corp
4.050
08/15/52
143,960‌
1,000,000
Norfolk
Southern
Corp
3.700
03/15/53
769,788‌
300,000
Norfolk
Southern
Corp
4.550
06/01/53
270,914‌
1,170,000
Norfolk
Southern
Corp
3.155
05/15/55
799,817‌
1,000,000
Norfolk
Southern
Corp
4.100
05/15/21
704,970‌
550,000
Ryder
System,
Inc
3.650
03/18/24
540,839‌
500,000
Ryder
System,
Inc
2.500
09/01/24
480,093‌
300,000
Ryder
System,
Inc
4.625
06/01/25
292,991‌
500,000
Ryder
System,
Inc
3.350
09/01/25
474,597‌
1,000,000
Ryder
System,
Inc
1.750
09/01/26
893,740‌
500,000
Ryder
System,
Inc
2.900
12/01/26
458,058‌
87
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TRANSPORTATION—continued
$
1,000,000
Ryder
System,
Inc
2.850
%
03/01/27
$
913,568‌
1,000,000
Ryder
System,
Inc
5.650
03/01/28
1,000,418‌
1,250,000
Southwest
Airlines
Co
5
.250
05/04/25
1,236,659‌
200,000
Southwest
Airlines
Co
3.000
11/15/26
183,741‌
1,000,000
Southwest
Airlines
Co
5.125
06/15/27
992,246‌
200,000
Southwest
Airlines
Co
3.450
11/16/27
183,567‌
300,000
Southwest
Airlines
Co
2.625
02/10/30
254,986‌
200,000
Union
Pacific
Corp
3.250
01/15/25
193,431‌
500,000
Union
Pacific
Corp
3.750
07/15/25
485,312‌
200,000
Union
Pacific
Corp
3.250
08/15/25
192,287‌
300,000
Union
Pacific
Corp
2.750
03/01/26
283,718‌
2,500,000
Union
Pacific
Corp
2.375
05/20/31
2,113,955‌
1,000,000
Union
Pacific
Corp
2.800
02/14/32
862,842‌
500,000
e
Union
Pacific
Corp
4.500
01/20/33
491,644‌
100,000
Union
Pacific
Corp
3.375
02/01/35
85,562‌
2,525,000
Union
Pacific
Corp
2.891
04/06/36
2,013,146‌
100,000
Union
Pacific
Corp
3.600
09/15/37
85,274‌
500,000
Union
Pacific
Corp
3.550
08/15/39
419,218‌
1,500,000
Union
Pacific
Corp
3.200
05/20/41
1,178,819‌
500,000
Union
Pacific
Corp
3.375
02/14/42
399,510‌
200,000
Union
Pacific
Corp
3.350
08/15/46
148,484‌
300,000
Union
Pacific
Corp
4.000
04/15/47
253,284‌
4,000,000
Union
Pacific
Corp
3.250
02/05/50
2,987,963‌
1,070,000
Union
Pacific
Corp
3.799
10/01/51
876,336‌
500,000
Union
Pacific
Corp
2.950
03/10/52
347,001‌
1,000,000
Union
Pacific
Corp
3.500
02/14/53
772,645‌
1,000,000
Union
Pacific
Corp
4.950
05/15/53
995,291‌
200,000
Union
Pacific
Corp
3.875
02/01/55
161,358‌
300,000
Union
Pacific
Corp
3.950
08/15/59
242,625‌
1,000,000
Union
Pacific
Corp
3.839
03/20/60
795,456‌
1,500,000
Union
Pacific
Corp
3.550
05/20/61
1,099,850‌
2,000,000
Union
Pacific
Corp
2.973
09/16/62
1,302,234‌
200,000
Union
Pacific
Corp
4.100
09/15/67
165,425‌
500,000
Union
Pacific
Corp
3.750
02/05/70
378,176‌
500,000
Union
Pacific
Corp
3.799
04/06/71
381,403‌
500,000
Union
Pacific
Corp
3.850
02/14/72
384,352‌
2,000,000
United
Air
(Mileage
Plus
Holdings
LLC)
5.800
01/15/36
2,032,194‌
500,000
United
Parcel
Service,
Inc
2.200
09/01/24
481,791‌
300,000
United
Parcel
Service,
Inc
2.800
11/15/24
290,009‌
125,000
United
Parcel
Service,
Inc
2.400
11/15/26
116,364‌
875,000
United
Parcel
Service,
Inc
3.050
11/15/27
823,984‌
500,000
United
Parcel
Service,
Inc
3.400
03/15/29
471,739‌
500,000
United
Parcel
Service,
Inc
2.500
09/01/29
442,552‌
2,000,000
United
Parcel
Service,
Inc
4.875
03/03/33
2,021,096‌
510,000
United
Parcel
Service,
Inc
6.200
01/15/38
570,086‌
450,000
United
Parcel
Service,
Inc
3.625
10/01/42
374,097‌
400,000
United
Parcel
Service,
Inc
3.400
11/15/46
309,493‌
1,550,000
United
Parcel
Service,
Inc
3.750
11/15/47
1,296,114‌
300,000
United
Parcel
Service,
Inc
4.250
03/15/49
269,510‌
500,000
United
Parcel
Service,
Inc
3.400
09/01/49
398,092‌
1,630,000
United
Parcel
Service,
Inc
5.300
04/01/50
1,712,276‌
1,000,000
United
Parcel
Service,
Inc
5.050
03/03/53
1,017,082‌
TOTAL
TRANSPORTATION
105,220,871‌
UTILITIES
-
2.3%
200,000
AEP
Texas,
Inc
3.950
06/01/28
187,735‌
550,000
AEP
Texas,
Inc
2.100
07/01/30
449,127‌
500,000
AEP
Texas,
Inc
4.700
05/15/32
478,451‌
200,000
AEP
Texas,
Inc
3.800
10/01/47
151,094‌
100,000
AEP
Texas,
Inc
4.150
05/01/49
79,999‌
850,000
AEP
Texas,
Inc
3.450
05/15/51
604,516‌
Bond
Index
Fund
June
30,
2023
88
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
200,000
AEP
Transmission
Co
LLC
3.100
%
12/01/26
$
187,386‌
600,000
AEP
Transmission
Co
LLC
4.000
12/01/46
502,912‌
500,000
AEP
Transmission
Co
LLC
3.750
12/01/47
398,923‌
200,000
AEP
Transmission
Co
LLC
4.250
09/15/48
171,857‌
300,000
AEP
Transmission
Co
LLC
3.800
06/15/49
239,646‌
550,000
AEP
Transmission
Co
LLC
2.750
08/15/51
354,503‌
300,000
AEP
Transmission
Co
LLC
5.400
03/15/53
308,308‌
600,000
AES
Corp
1.375
01/15/26
535,914‌
1,000,000
AES
Corp
5.450
06/01/28
981,937‌
675,000
AES
Corp
2.450
01/15/31
545,593‌
575,000
Alabama
Power
Co
1.450
09/15/30
455,078‌
200,000
Alabama
Power
Co
3.850
12/01/42
164,907‌
400,000
Alabama
Power
Co
3.750
03/01/45
314,377‌
300,000
Alabama
Power
Co
4.300
01/02/46
252,193‌
350,000
Alabama
Power
Co
3.700
12/01/47
271,745‌
1,000,000
Alabama
Power
Co
4.300
07/15/48
851,380‌
1,000,000
Alabama
Power
Co
3.125
07/15/51
691,484‌
1,000,000
Alabama
Power
Co
3.000
03/15/52
674,874‌
350,000
Ameren
Corp
2.500
09/15/24
335,388‌
2,000,000
Ameren
Corp
1.750
03/15/28
1,712,658‌
300,000
Ameren
Illinois
Co
3.800
05/15/28
285,740‌
750,000
Ameren
Illinois
Co
1.550
11/15/30
594,833‌
500,000
Ameren
Illinois
Co
3.850
09/01/32
458,908‌
725,000
Ameren
Illinois
Co
4.950
06/01/33
719,241‌
125,000
Ameren
Illinois
Co
4.150
03/15/46
105,072‌
1,150,000
Ameren
Illinois
Co
3.700
12/01/47
923,810‌
575,000
Ameren
Illinois
Co
4.500
03/15/49
522,591‌
325,000
Ameren
Illinois
Co
2.900
06/15/51
218,620‌
325,000
Ameren
Illinois
Co
5.900
12/01/52
353,913‌
350,000
American
Electric
Power
Co,
Inc
3.200
11/13/27
323,334‌
700,000
American
Electric
Power
Co,
Inc
4.300
12/01/28
667,494‌
500,000
American
Electric
Power
Co,
Inc
2.300
03/01/30
414,677‌
1,000,000
American
Electric
Power
Co,
Inc
5.625
03/01/33
1,016,659‌
1,000,000
American
Electric
Power
Co,
Inc
3.875
02/15/62
794,230‌
300,000
American
Water
Capital
Corp
3.400
03/01/25
290,100‌
200,000
American
Water
Capital
Corp
2.950
09/01/27
184,497‌
500,000
American
Water
Capital
Corp
3.750
09/01/28
471,948‌
750,000
American
Water
Capital
Corp
3.450
06/01/29
696,087‌
100,000
American
Water
Capital
Corp
2
.800
05/01/30
87,409‌
1,250,000
American
Water
Capital
Corp
2.300
06/01/31
1,037,590‌
225,000
American
Water
Capital
Corp
4.300
12/01/42
197,746‌
150,000
American
Water
Capital
Corp
4.300
09/01/45
128,999‌
100,000
American
Water
Capital
Corp
4.000
12/01/46
80,672‌
1,175,000
American
Water
Capital
Corp
3.750
09/01/47
929,727‌
500,000
American
Water
Capital
Corp
4.200
09/01/48
420,946‌
500,000
American
Water
Capital
Corp
4.150
06/01/49
418,577‌
675,000
American
Water
Capital
Corp
3.450
05/01/50
502,904‌
1,250,000
e
American
Water
Capital
Corp
3.250
06/01/51
907,879‌
200,000
Appalachian
Power
Co
3.300
06/01/27
186,680‌
1,000,000
Appalachian
Power
Co
2.700
04/01/31
832,854‌
500,000
Appalachian
Power
Co
4.500
08/01/32
468,564‌
300,000
Appalachian
Power
Co
4.500
03/01/49
252,377‌
775,000
Appalachian
Power
Co
3.700
05/01/50
584,160‌
125,000
Aqua
America,
Inc
3.566
05/01/29
113,685‌
200,000
Aqua
America,
Inc
4.276
05/01/49
161,977‌
200,000
Arizona
Public
Service
Co
2.950
09/15/27
181,498‌
1,000,000
Arizona
Public
Service
Co
2.600
08/15/29
853,425‌
750,000
Arizona
Public
Service
Co
6.350
12/15/32
795,638‌
750,000
Arizona
Public
Service
Co
5.550
08/01/33
750,543‌
350,000
Arizona
Public
Service
Co
4.500
04/01/42
298,759‌
200,000
Arizona
Public
Service
Co
4.350
11/15/45
160,562‌
89
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
410,000
Arizona
Public
Service
Co
3.750
%
05/15/46
$
303,073‌
200,000
Arizona
Public
Service
Co
4.200
08/15/48
156,636‌
200,000
Arizona
Public
Service
Co
4.250
03/01/49
159,663‌
300,000
Arizona
Public
Service
Co
3.500
12/01/49
209,667‌
500,000
Arizona
Public
Service
Co
3.350
05/15/50
344,845‌
750,000
Arizona
Public
Service
Co
2.650
09/15/50
456,988‌
900,000
Atlantic
City
Electric
Co
4.000
10/15/28
856,838‌
425,000
Atlantic
City
Electric
Co
2.300
03/15/31
350,882‌
1,000,000
Atmos
Energy
Corp
2.625
09/15/29
879,041‌
750,000
Atmos
Energy
Corp
1.500
01/15/31
589,275‌
175,000
Atmos
Energy
Corp
5.450
10/15/32
180,513‌
100,000
Atmos
Energy
Corp
5.500
06/15/41
99,882‌
125,000
Atmos
Energy
Corp
4.150
01/15/43
107,790‌
600,000
Atmos
Energy
Corp
4.125
10/15/44
504,716‌
500,000
Atmos
Energy
Corp
4.300
10/01/48
434,543‌
300,000
Atmos
Energy
Corp
4.125
03/15/49
252,192‌
1,500,000
Atmos
Energy
Corp
2.850
02/15/52
1,012,840‌
500,000
Atmos
Energy
Corp
5.750
10/15/52
529,190‌
500,000
Avangrid,
Inc
3.150
12/01/24
479,563‌
300,000
Avangrid,
Inc
3.200
04/15/25
285,211‌
625,000
Avangrid,
Inc
3.800
06/01/29
569,568‌
150,000
Avista
Corp
4.350
06/01/48
129,483‌
550,000
Avista
Corp
4.000
04/01/52
436,791‌
200,000
Baltimore
Gas
&
Electric
Co
2.400
08/15/26
183,726‌
150,000
Baltimore
Gas
&
Electric
Co
3.500
08/15/46
113,166‌
200,000
Baltimore
Gas
&
Electric
Co
3.750
08/15/47
156,158‌
200,000
Baltimore
Gas
&
Electric
Co
4.250
09/15/48
169,885‌
500,000
Baltimore
Gas
&
Electric
Co
3.200
09/15/49
361,990‌
775,000
Baltimore
Gas
&
Electric
Co
2.900
06/15/50
516,649‌
1,500,000
Baltimore
Gas
and
Electric
Co
2.250
06/15/31
1,248,174‌
500,000
Baltimore
Gas
and
Electric
Co
4.550
06/01/52
444,623‌
500,000
Baltimore
Gas
and
Electric
Co
5.400
06/01/53
507,951‌
350,000
Berkshire
Hathaway
Energy
Co
3.500
02/01/25
338,173‌
175,000
Berkshire
Hathaway
Energy
Co
3
.250
04/15/28
161,067‌
2,500,000
Berkshire
Hathaway
Energy
Co
1.650
05/15/31
1,938,609‌
950,000
Berkshire
Hathaway
Energy
Co
6.125
04/01/36
991,200‌
1,032,000
Berkshire
Hathaway
Energy
Co
5.950
05/15/37
1,062,737‌
725,000
Berkshire
Hathaway
Energy
Co
5.150
11/15/43
673,588‌
975,000
Berkshire
Hathaway
Energy
Co
4.500
02/01/45
833,674‌
1,250,000
Berkshire
Hathaway
Energy
Co
3.800
07/15/48
966,119‌
1,025,000
Berkshire
Hathaway
Energy
Co
4.450
01/15/49
864,417‌
2,500,000
Berkshire
Hathaway
Energy
Co
2.850
05/15/51
1,615,935‌
200,000
Black
Hills
Corp
4.250
11/30/23
198,604‌
100,000
Black
Hills
Corp
3.950
01/15/26
95,546‌
100,000
Black
Hills
Corp
3.150
01/15/27
92,662‌
1,500,000
Black
Hills
Corp
5.950
03/15/28
1,517,484‌
550,000
Black
Hills
Corp
2.500
06/15/30
453,406‌
300,000
Black
Hills
Corp
4.350
05/01/33
267,198‌
200,000
Black
Hills
Corp
4.200
09/15/46
157,033‌
200,000
CenterPoint
Energy
Houston
Electric
LLC
2.400
09/01/26
183,766‌
300,000
CenterPoint
Energy
Houston
Electric
LLC
3.000
02/01/27
280,332‌
275,000
CenterPoint
Energy
Houston
Electric
LLC
2.350
04/01/31
230,620‌
100,000
CenterPoint
Energy
Houston
Electric
LLC
6.950
03/15/33
113,537‌
500,000
CenterPoint
Energy
Houston
Electric
LLC
4.950
04/01/33
499,103‌
300,000
CenterPoint
Energy
Houston
Electric
LLC
3.950
03/01/48
247,477‌
150,000
CenterPoint
Energy
Houston
Electric
LLC
2.900
07/01/50
101,878‌
875,000
CenterPoint
Energy
Houston
Electric
LLC
3.350
04/01/51
652,782‌
500,000
CenterPoint
Energy
Houston
Electric
LLC
3.600
03/01/52
387,798‌
100,000
CenterPoint
Energy
Houston
Electric
LLC
5.300
04/01/53
102,167‌
1,000,000
CenterPoint
Energy
Resources
Corp
5.250
03/01/28
999,595‌
200,000
CenterPoint
Energy
Resources
Corp
4.000
04/01/28
190,753‌
Bond
Index
Fund
June
30,
2023
90
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
575,000
CenterPoint
Energy
Resources
Corp
1.750
%
10/01/30
$
461,016‌
500,000
CenterPoint
Energy
Resources
Corp
4.400
07/01/32
477,360‌
1,000,000
CenterPoint
Energy
Resources
Corp
5.400
03/01/33
1,017,963‌
700,000
CenterPoint
Energy
Resources
Corp
4.100
09/01/47
572,363‌
500,000
CenterPoint
Energy,
Inc
2.500
09/01/24
480,004‌
135,000
CenterPoint
Energy,
Inc
4
.250
11/01/28
126,274‌
750,000
CenterPoint
Energy,
Inc
2.950
03/01/30
652,914‌
1,000,000
CenterPoint
Energy,
Inc
2.650
06/01/31
833,853‌
500,000
CenterPoint
Energy,
Inc
3.700
09/01/49
375,078‌
3,200,000
Cheniere
Corpus
Christi
Holdings
LLC
3.700
11/15/29
2,897,325‌
2,000,000
Cheniere
Corpus
Christi
Holdings
LLC
2.742
12/31/39
1,576,356‌
2,500,000
Cigna
Group
5.400
03/15/33
2,544,085‌
425,000
Cleco
Corporate
Holdings
LLC
3.743
05/01/26
397,781‌
300,000
Cleco
Corporate
Holdings
LLC
3.375
09/15/29
254,450‌
200,000
Cleco
Corporate
Holdings
LLC
4.973
05/01/46
168,246‌
790,000
CMS
Energy
Corp
3.450
08/15/27
738,438‌
1,000,000
CMS
Energy
Corp
3.750
12/01/50
771,800‌
250,000
Commonwealth
Edison
Co
2.550
06/15/26
233,540‌
300,000
Commonwealth
Edison
Co
3.700
08/15/28
283,051‌
500,000
Commonwealth
Edison
Co
2.200
03/01/30
422,647‌
1,000,000
Commonwealth
Edison
Co
3.150
03/15/32
877,754‌
1,000,000
Commonwealth
Edison
Co
4.900
02/01/33
995,559‌
200,000
Commonwealth
Edison
Co
3.800
10/01/42
165,326‌
300,000
Commonwealth
Edison
Co
4.700
01/15/44
274,521‌
100,000
Commonwealth
Edison
Co
3.700
03/01/45
79,325‌
250,000
Commonwealth
Edison
Co
3.650
06/15/46
195,425‌
400,000
Commonwealth
Edison
Co
3.750
08/15/47
316,363‌
1,175,000
Commonwealth
Edison
Co
4
.000
03/01/48
981,812‌
1,300,000
Commonwealth
Edison
Co
4.000
03/01/49
1,075,851‌
500,000
Commonwealth
Edison
Co
3.200
11/15/49
357,668‌
500,000
Commonwealth
Edison
Co
3.000
03/01/50
344,720‌
1,000,000
Commonwealth
Edison
Co
3.125
03/15/51
700,811‌
500,000
Commonwealth
Edison
Co
2.750
09/01/51
323,095‌
500,000
Commonwealth
Edison
Co
5.300
02/01/53
508,136‌
625,000
Connecticut
Light
&
Power
Co
3.200
03/15/27
588,291‌
400,000
Connecticut
Light
&
Power
Co
4.300
04/15/44
345,647‌
250,000
Connecticut
Light
&
Power
Co
4.150
06/01/45
212,217‌
775,000
Connecticut
Light
&
Power
Co
4.000
04/01/48
652,449‌
500,000
Connecticut
Light
and
Power
Co
2.050
07/01/31
406,844‌
1,000,000
h
Connecticut
Light
and
Power
Co
4.900
07/01/33
994,564‌
500,000
Connecticut
Light
and
Power
Co
5.250
01/15/53
507,276‌
200,000
Consolidated
Edison
Co
of
New
York,
Inc
3.800
05/15/28
189,864‌
300,000
Consolidated
Edison
Co
of
New
York,
Inc
4.000
12/01/28
286,145‌
100,000
Consolidated
Edison
Co
of
New
York,
Inc
3.350
04/01/30
90,845‌
2,000,000
Consolidated
Edison
Co
of
New
York,
Inc
2.400
06/15/31
1,664,723‌
1,000,000
Consolidated
Edison
Co
of
New
York,
Inc
5.200
03/01/33
1,010,740‌
200,000
Consolidated
Edison
Co
of
New
York,
Inc
4.200
03/15/42
169,504‌
550,000
Consolidated
Edison
Co
of
New
York,
Inc
3.950
03/01/43
448,354‌
1,475,000
Consolidated
Edison
Co
of
New
York,
Inc
4.450
03/15/44
1,294,652‌
150,000
Consolidated
Edison
Co
of
New
York,
Inc
4.500
12/01/45
130,474‌
400,000
Consolidated
Edison
Co
of
New
York,
Inc
3.850
06/15/46
309,555‌
400,000
Consolidated
Edison
Co
of
New
York,
Inc
3.875
06/15/47
313,581‌
300,000
Consolidated
Edison
Co
of
New
York,
Inc
4.650
12/01/48
266,987‌
500,000
Consolidated
Edison
Co
of
New
York,
Inc
4.125
05/15/49
409,759‌
700,000
Consolidated
Edison
Co
of
New
York,
Inc
3.950
04/01/50
572,018‌
1,000,000
Consolidated
Edison
Co
of
New
York,
Inc
3.200
12/01/51
693,145‌
1,000,000
Consolidated
Edison
Co
of
New
York,
Inc
6.150
11/15/52
1,099,322‌
850,000
Consolidated
Edison
Co
of
New
York,
Inc
4.625
12/01/54
729,485‌
200,000
Consolidated
Edison
Co
of
New
York,
Inc
4.300
12/01/56
162,325‌
1,300,000
Consolidated
Edison
Co
of
New
York,
Inc
4.000
11/15/57
1,014,292‌
400,000
Consolidated
Edison
Co
of
New
York,
Inc
4.500
05/15/58
333,710‌
91
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
1,000,000
Consolidated
Edison
Co
of
New
York,
Inc
3.700
%
11/15/59
$
730,525‌
1,000,000
Consolidated
Edison
Co
of
New
York,
Inc
3.000
12/01/60
635,341‌
1,000,000
Consolidated
Edison
Co
of
New
York,
Inc
3.600
06/15/61
725,199‌
750,000
Constellation
Energy
Generation
LLC
5.600
03/01/28
755,744‌
750,000
Constellation
Energy
Generation
LLC
5.800
03/01/33
767,724‌
200,000
Consumers
Energy
Co
3.375
08/15/23
199,505‌
500,000
Consumers
Energy
Co
4.650
03/01/28
496,076‌
250,000
Consumers
Energy
Co
3.800
11/15/28
235,764‌
275,000
Consumers
Energy
Co
3.600
08/15/32
247,703‌
500,000
Consumers
Energy
Co
4.625
05/15/33
486,358‌
600,000
Consumers
Energy
Co
3.950
07/15/47
499,007‌
600,000
Consumers
Energy
Co
4.050
05/15/48
506,802‌
350,000
Consumers
Energy
Co
4.350
04/15/49
307,408‌
500,000
Consumers
Energy
Co
3.750
02/15/50
398,148‌
500,000
Consumers
Energy
Co
3.100
08/15/50
353,228‌
150,000
Consumers
Energy
Co
3.500
08/01/51
114,636‌
287,000
Consumers
Energy
Co
2.650
08/15/52
183,900‌
500,000
Consumers
Energy
Co
4.200
09/01/52
427,807‌
291,000
Consumers
Energy
Co
2.500
05/01/60
167,039‌
300,000
Dayton
Power
&
Light
Co
3.950
06/15/49
233,508‌
200,000
Delmarva
Power
&
Light
Co
4.150
05/15/45
166,214‌
925,000
Dominion
Energy
South
Carolina,
Inc
2.300
12/01/31
750,599‌
300,000
Dominion
Energy,
Inc
3.300
03/15/25
287,217‌
1,750,000
Dominion
Energy,
Inc
3.900
10/01/25
1,685,764‌
1,000,000
Dominion
Energy,
Inc
1.450
04/15/26
897,784‌
775,000
Dominion
Energy,
Inc
3.600
03/15/27
730,431‌
500,000
Dominion
Energy,
Inc
4.250
06/01/28
476,949‌
303,000
Dominion
Energy,
Inc
3.375
04/01/30
271,019‌
500,000
Dominion
Energy,
Inc
2.250
08/15/31
402,821‌
500,000
Dominion
Energy,
Inc
4.350
08/15/32
467,641‌
1,000,000
Dominion
Energy,
Inc
5.375
11/15/32
1,003,423‌
475,000
Dominion
Energy,
Inc
3.300
04/15/41
352,675‌
200,000
Dominion
Energy,
Inc
4.700
12/01/44
172,961‌
500,000
Dominion
Energy,
Inc
4.600
03/15/49
428,978‌
500,000
Dominion
Energy,
Inc
4.850
08/15/52
443,673‌
225,000
Dominion
Energy,
Inc
(Step
Bond)
3.071
08/15/24
217,305‌
500,000
DTE
Electric
Co
1.900
04/01/28
437,441‌
1,500,000
DTE
Electric
Co
3.000
03/01/32
1,291,808‌
1,000,000
DTE
Electric
Co
5.200
04/01/33
1,016,086‌
200,000
DTE
Electric
Co
4.000
04/01/43
167,070‌
100,000
DTE
Electric
Co
3.700
06/01/46
78,158‌
500,000
DTE
Electric
Co
3.750
08/15/47
392,853‌
1,000,000
DTE
Electric
Co
4.050
05/15/48
830,587‌
525,000
DTE
Electric
Co
3.950
03/01/49
431,371‌
1,000,000
DTE
Electric
Co
2.950
03/01/50
680,222‌
400,000
DTE
Electric
Co
3.250
04/01/51
289,320‌
450,000
DTE
Electric
Co
3.650
03/01/52
350,473‌
1,000,000
DTE
Energy
Co
1.050
06/01/25
915,930‌
327,000
DTE
Energy
Co
3.400
06/15/29
292,239‌
500,000
DTE
Energy
Co
2.950
03/01/30
432,437‌
1,500,000
DTE
Energy
Co
(Step
Bond)
4.220
11/01/24
1,466,416‌
200,000
Duke
Energy
Carolinas
LLC
2.950
12/01/26
187,921‌
500,000
Duke
Energy
Carolinas
LLC
3.950
11/15/28
477,469‌
500,000
Duke
Energy
Carolinas
LLC
2.450
08/15/29
431,282‌
1,500,000
Duke
Energy
Carolinas
LLC
2.550
04/15/31
1,272,825‌
375,000
Duke
Energy
Carolinas
LLC
2.850
03/15/32
318,724‌
1,300,000
Duke
Energy
Carolinas
LLC
4.950
01/15/33
1,290,371‌
125,000
Duke
Energy
Carolinas
LLC
5.300
02/15/40
125,408‌
300,000
Duke
Energy
Carolinas
LLC
3.750
06/01/45
235,990‌
200,000
Duke
Energy
Carolinas
LLC
3.875
03/15/46
159,290‌
1,750,000
Duke
Energy
Carolinas
LLC
3.700
12/01/47
1,371,485‌
Bond
Index
Fund
June
30,
2023
92
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
1,500,000
Duke
Energy
Carolinas
LLC
3.950
%
03/15/48
$
1,222,230‌
1,000,000
Duke
Energy
Carolinas
LLC
3.200
08/15/49
719,255‌
1,500,000
Duke
Energy
Carolinas
LLC
3.450
04/15/51
1,096,076‌
1,000,000
Duke
Energy
Carolinas
LLC
5.350
01/15/53
1,012,953‌
500,000
Duke
Energy
Carolinas
LLC
5.400
01/15/54
509,421‌
300,000
Duke
Energy
Corp
3.950
10/15/23
298,141‌
2,700,000
Duke
Energy
Corp
2.650
09/01/26
2,495,411‌
350,000
Duke
Energy
Corp
3.150
08/15/27
323,143‌
1,000,000
Duke
Energy
Corp
5.000
12/08/27
993,189‌
1,000,000
Duke
Energy
Corp
4.300
03/15/28
960,600‌
1,000,000
Duke
Energy
Corp
2.450
06/01/30
839,741‌
1,000,000
Duke
Energy
Corp
2.550
06/15/31
823,980‌
1,000,000
Duke
Energy
Corp
3.300
06/15/41
736,607‌
300,000
Duke
Energy
Corp
4.800
12/15/45
268,768‌
1,975,000
Duke
Energy
Corp
3.750
09/01/46
1,493,936‌
500,000
Duke
Energy
Corp
4.200
06/15/49
405,564‌
1,000,000
Duke
Energy
Corp
3.500
06/15/51
724,130‌
500,000
Duke
Energy
Corp
5.000
08/15/52
457,069‌
750,000
Duke
Energy
Corp
3.250
01/15/82
556,895‌
1,200,000
Duke
Energy
Florida
LLC
3.200
01/15/27
1,136,827‌
1,000,000
Duke
Energy
Florida
LLC
2.400
12/15/31
821,245‌
375,000
Duke
Energy
Florida
LLC
6.400
06/15/38
411,304‌
500,000
Duke
Energy
Florida
LLC
3.400
10/01/46
373,468‌
300,000
Duke
Energy
Florida
LLC
4.200
07/15/48
255,532‌
1,000,000
Duke
Energy
Florida
LLC
3.000
12/15/51
685,058‌
1,000,000
Duke
Energy
Florida
LLC
5.950
11/15/52
1,089,252‌
300,000
Duke
Energy
Indiana
LLC
3.750
05/15/46
232,703‌
500,000
Duke
Energy
Indiana
LLC
3.250
10/01/49
357,530‌
275,000
Duke
Energy
Indiana
LLC
2.750
04/01/50
175,620‌
500,000
Duke
Energy
Indiana
LLC
5.400
04/01/53
503,939‌
200,000
Duke
Energy
Ohio,
Inc
3.650
02/01/29
185,759‌
25,000
Duke
Energy
Ohio,
Inc
2.125
06/01/30
20,711‌
750,000
Duke
Energy
Ohio,
Inc
5.250
04/01/33
755,328‌
200,000
Duke
Energy
Ohio,
Inc
3.700
06/15/46
151,941‌
200,000
Duke
Energy
Ohio,
Inc
4.300
02/01/49
167,207‌
500,000
Duke
Energy
Ohio,
Inc
5.650
04/01/53
512,451‌
300,000
Duke
Energy
Progress
LLC
3.250
08/15/25
287,772‌
300,000
Duke
Energy
Progress
LLC
3.700
09/01/28
283,351‌
5,357,000
Duke
Energy
Progress
LLC
3.450
03/15/29
4,911,536‌
1,500,000
Duke
Energy
Progress
LLC
2.000
08/15/31
1,206,352‌
750,000
Duke
Energy
Progress
LLC
5.250
03/15/33
761,769‌
400,000
Duke
Energy
Progress
LLC
4.375
03/30/44
346,618‌
500,000
Duke
Energy
Progress
LLC
4.150
12/01/44
414,657‌
300,000
Duke
Energy
Progress
LLC
4.200
08/15/45
249,726‌
500,000
Duke
Energy
Progress
LLC
3.700
10/15/46
388,245‌
200,000
Duke
Energy
Progress
LLC
3.600
09/15/47
153,196‌
600,000
Duke
Energy
Progress
LLC
2.500
08/15/50
372,347‌
500,000
Duke
Energy
Progress
LLC
2.900
08/15/51
333,832‌
750,000
Duke
Energy
Progress
LLC
5.350
03/15/53
754,769‌
250,000
Eastern
Energy
Gas
Holdings
LLC
2.500
11/15/24
238,754‌
134,000
Eastern
Energy
Gas
Holdings
LLC
3.600
12/15/24
129,242‌
800,000
Edison
International
3.550
11/15/24
773,134‌
750,000
Edison
International
5.750
06/15/27
750,035‌
300,000
Edison
International
4.125
03/15/28
279,964‌
1,000,000
Edison
International
5.250
11/15/28
973,090‌
500,000
Edison
International
6.950
11/15/29
525,938‌
200,000
El
Paso
Electric
Co
5.000
12/01/44
177,163‌
1,075,000
Emera
US
Finance
LP
3.550
06/15/26
1,016,477‌
2,000,000
Emera
US
Finance
LP
2.639
06/15/31
1,596,425‌
625,000
Emera
US
Finance
LP
4.750
06/15/46
507,001‌
50,000
Empresa
Nacional
de
Electricidad
S.A.
4.250
04/15/24
48,956‌
93
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
675,000
Enel
Chile
S.A.
4.875
%
06/12/28
$
648,966‌
400,000
Enersis
Americas
S.A.
4.000
10/25/26
385,404‌
175,000
Entergy
Arkansas
LLC
3.700
06/01/24
171,989‌
600,000
Entergy
Arkansas
LLC
3.500
04/01/26
574,349‌
1,000,000
Entergy
Arkansas
LLC
5.150
01/15/33
1,002,140‌
200,000
Entergy
Arkansas
LLC
4.200
04/01/49
167,224‌
425,000
Entergy
Arkansas
LLC
2.650
06/15/51
264,516‌
750,000
Entergy
Arkansas
LLC
3.350
06/15/52
536,074‌
1,000,000
Entergy
Corp
0.900
09/15/25
898,102‌
1,300,000
Entergy
Corp
2.950
09/01/26
1,200,489‌
1,000,000
Entergy
Corp
1.900
06/15/28
852,225‌
175,000
Entergy
Corp
2.800
06/15/30
148,333‌
625,000
Entergy
Corp
2.400
06/15/31
506,162‌
500,000
Entergy
Corp
3.750
06/15/50
368,455‌
605,000
Entergy
Louisiana
LLC
0.620
11/17/23
593,433‌
200,000
Entergy
Louisiana
LLC
2.400
10/01/26
183,071‌
200,000
Entergy
Louisiana
LLC
3.120
09/01/27
184,472‌
1,000,000
Entergy
Louisiana
LLC
1.600
12/15/30
780,274‌
1,000,000
Entergy
Louisiana
LLC
2.350
06/15/32
801,624‌
500,000
Entergy
Louisiana
LLC
4.000
03/15/33
453,775‌
500,000
Entergy
Louisiana
LLC
3.100
06/15/41
376,193‌
300,000
Entergy
Louisiana
LLC
4.200
09/01/48
250,912‌
300,000
Entergy
Louisiana
LLC
4.200
04/01/50
250,876‌
500,000
Entergy
Louisiana
LLC
4.750
09/15/52
458,568‌
800,000
Entergy
Mississippi
LLC
3.850
06/01/49
620,176‌
475,000
Entergy
Mississippi
LLC
3.500
06/01/51
348,465‌
1,000,000
Entergy
Texas,
Inc
4.000
03/30/29
942,363‌
575,000
Entergy
Texas,
Inc
1.750
03/15/31
454,068‌
200,000
Entergy
Texas,
Inc
4.500
03/30/39
179,685‌
700,000
Entergy
Texas,
Inc
3.550
09/30/49
518,279‌
225,000
Essential
Utilities,
Inc
2.704
04/15/30
190,482‌
1,000,000
Essential
Utilities,
Inc
2.400
05/01/31
811,682‌
300,000
Essential
Utilities,
Inc
3.351
04/15/50
208,501‌
500,000
Essential
Utilities,
Inc
5.300
05/01/52
471,249‌
425,000
Evergy
Kansas
Central,
Inc
3.450
04/15/50
309,164‌
1,000,000
Evergy
Kansas
Central,
Inc
5.700
03/15/53
1,029,685‌
150,000
Evergy
Metro,
Inc
2.250
06/01/30
124,763‌
1,100,000
Evergy,
Inc
2.450
09/15/24
1,053,720‌
100,000
Evergy,
Inc
2.550
07/01/26
92,603‌
750,000
Evergy,
Inc
2.900
09/15/29
654,442‌
300,000
Eversource
Energy
3.800
12/01/23
297,844‌
300,000
Eversource
Energy
2.900
10/01/24
288,727‌
100,000
Eversource
Energy
0.800
08/15/25
90,044‌
1,000,000
Eversource
Energy
1.400
08/15/26
887,759‌
200,000
Eversource
Energy
3.300
01/15/28
184,127‌
1,000,000
Eversource
Energy
5.450
03/01/28
1,006,706‌
300,000
Eversource
Energy
4.250
04/01/29
285,788‌
100,000
Eversource
Energy
1.650
08/15/30
79,290‌
1,000,000
Eversource
Energy
2.550
03/15/31
831,020‌
1,000,000
Eversource
Energy
3.375
03/01/32
871,599‌
1,100,000
Eversource
Energy
3.450
01/15/50
805,814‌
425,000
Exelon
Corp
3.400
04/15/26
403,796‌
1,500,000
Exelon
Corp
2.750
03/15/27
1,372,573‌
1,000,000
Exelon
Corp
5.150
03/15/28
995,451‌
1,000,000
Exelon
Corp
3.350
03/15/32
868,896‌
750,000
Exelon
Corp
5.300
03/15/33
747,604‌
500,000
Exelon
Corp
4.950
06/15/35
478,838‌
975,000
Exelon
Corp
4.450
04/15/46
827,976‌
100,000
Exelon
Corp
4.700
04/15/50
88,375‌
500,000
Exelon
Corp
4.100
03/15/52
403,063‌
500,000
Exelon
Corp
5.600
03/15/53
503,763‌
Bond
Index
Fund
June
30,
2023
94
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
1,500,000
Exelon
Generation
Co
LLC
3.250
%
06/01/25
$
1,427,678‌
900,000
Exelon
Generation
Co
LLC
6.250
10/01/39
933,410‌
625,000
Exelon
Generation
Co
LLC
5.600
06/15/42
603,893‌
500,000
Florida
Power
&
Light
Co
3.250
06/01/24
489,809‌
907,000
Florida
Power
&
Light
Co
3.125
12/01/25
866,973‌
750,000
Florida
Power
&
Light
Co
5.050
04/01/28
755,762‌
750,000
Florida
Power
&
Light
Co
4.400
05/15/28
735,909‌
425,000
Florida
Power
&
Light
Co
4.625
05/15/30
418,260‌
1,000,000
Florida
Power
&
Light
Co
2.450
02/03/32
841,259‌
750,000
Florida
Power
&
Light
Co
5.100
04/01/33
761,040‌
150,000
Florida
Power
&
Light
Co
4.800
05/15/33
148,919‌
100,000
Florida
Power
&
Light
Co
4.125
02/01/42
87,745‌
200,000
Florida
Power
&
Light
Co
4
.050
06/01/42
172,760‌
450,000
Florida
Power
&
Light
Co
3.800
12/15/42
377,353‌
400,000
Florida
Power
&
Light
Co
4.050
10/01/44
342,205‌
500,000
Florida
Power
&
Light
Co
3.700
12/01/47
405,484‌
1,675,000
Florida
Power
&
Light
Co
3.950
03/01/48
1,410,369‌
500,000
Florida
Power
&
Light
Co
4.125
06/01/48
431,833‌
1,100,000
Florida
Power
&
Light
Co
3.990
03/01/49
927,198‌
400,000
Florida
Power
&
Light
Co
3.150
10/01/49
291,600‌
500,000
Florida
Power
&
Light
Co
2.875
12/04/51
345,612‌
750,000
Florida
Power
&
Light
Co
5.300
04/01/53
775,737‌
768,000
Fortis,
Inc
3.055
10/04/26
707,547‌
200,000
Georgetown
University
5.115
04/01/53
200,778‌
600,000
Georgia
Power
Co
2.200
09/15/24
573,449‌
100,000
Georgia
Power
Co
3.250
04/01/26
94,809‌
700,000
Georgia
Power
Co
3.250
03/30/27
649,387‌
1,000,000
Georgia
Power
Co
4.650
05/16/28
979,784‌
700,000
Georgia
Power
Co
2.650
09/15/29
603,019‌
1,500,000
Georgia
Power
Co
4.950
05/17/33
1,480,646‌
625,000
Georgia
Power
Co
4.300
03/15/42
538,682‌
700,000
Georgia
Power
Co
4.300
03/15/43
592,317‌
2,500,000
Georgia
Power
Co
3.250
03/15/51
1,761,607‌
200,000
Gulf
Power
Co
3.300
05/30/27
188,298‌
250,000
Iberdrola
International
BV
5.810
03/15/25
250,849‌
400,000
Iberdrola
International
BV
6.750
07/15/36
451,996‌
425,000
Idaho
Power
Co
5.500
03/15/53
434,220‌
500,000
Indiana
Michigan
Power
Co
3.850
05/15/28
473,319‌
225,000
Indiana
Michigan
Power
Co
4.550
03/15/46
197,984‌
100,000
Indiana
Michigan
Power
Co
3.750
07/01/47
78,098‌
300,000
Indiana
Michigan
Power
Co
4.250
08/15/48
251,924‌
675,000
Indiana
Michigan
Power
Co
3.250
05/01/51
469,906‌
500,000
Indiana
Michigan
Power
Co
5.625
04/01/53
513,077‌
500,000
Interstate
Power
&
Light
Co
3.250
12/01/24
482,618‌
725,000
Interstate
Power
&
Light
Co
4.100
09/26/28
685,949‌
325,000
Interstate
Power
&
Light
Co
3.600
04/01/29
296,410‌
125,000
Interstate
Power
&
Light
Co
2.300
06/01/30
103,835‌
100,000
Interstate
Power
&
Light
Co
6.250
07/15/39
105,741‌
100,000
Interstate
Power
&
Light
Co
3.700
09/15/46
75,014‌
300,000
Interstate
Power
&
Light
Co
3.500
09/30/49
218,175‌
1,000,000
Interstate
Power
and
Light
Co
3.100
11/30/51
662,618‌
1,000,000
IPALCO
Enterprises,
Inc
3.700
09/01/24
966,816‌
100,000
IPALCO
Enterprises,
Inc
4.250
05/01/30
90,473‌
300,000
ITC
Holdings
Corp
3.650
06/15/24
293,726‌
100,000
ITC
Holdings
Corp
3.250
06/30/26
94,475‌
900,000
ITC
Holdings
Corp
3.350
11/15/27
840,021‌
200,000
Kansas
City
Power
&
Light
Co
3.650
08/15/25
191,870‌
100,000
Kansas
City
Power
&
Light
Co
5.300
10/01/41
97,221‌
650,000
Kansas
City
Power
&
Light
Co
4.200
06/15/47
540,898‌
100,000
Kansas
City
Power
&
Light
Co
4.200
03/15/48
82,191‌
300,000
Kansas
City
Power
&
Light
Co
4.125
04/01/49
244,910‌
95
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
1,000,000
Kentucky
Utilities
Co
5.450
%
04/15/33
$
1,018,405‌
300,000
Kentucky
Utilities
Co
4.375
10/01/45
251,838‌
400,000
Kentucky
Utilities
Co
3.300
06/01/50
284,471‌
250,000
KeySpan
Corp
5
.803
04/01/35
253,209‌
300,000
Louisville
Gas
&
Electric
Co
4.250
04/01/49
249,621‌
1,000,000
Louisville
Gas
and
Electric
Co
5.450
04/15/33
1,018,322‌
575,000
Medtronic
Global
Holdings
S.C.A
4.250
03/30/28
561,216‌
1,000,000
Medtronic
Global
Holdings
S.C.A
4.500
03/30/33
980,104‌
1,500,000
MidAmerican
Energy
Co
3.100
05/01/27
1,401,073‌
575,000
MidAmerican
Energy
Co
3.650
04/15/29
533,980‌
200,000
MidAmerican
Energy
Co
4.800
09/15/43
185,549‌
200,000
MidAmerican
Energy
Co
4.400
10/15/44
174,526‌
200,000
MidAmerican
Energy
Co
4.250
05/01/46
168,369‌
500,000
MidAmerican
Energy
Co
3.950
08/01/47
406,481‌
1,000,000
MidAmerican
Energy
Co
3.650
08/01/48
769,888‌
300,000
MidAmerican
Energy
Co
4.250
07/15/49
255,099‌
300,000
MidAmerican
Energy
Co
3.150
04/15/50
209,949‌
1,000,000
MidAmerican
Energy
Co
2.700
08/01/52
631,835‌
500,000
Mississippi
Power
Co
3.950
03/30/28
469,901‌
750,000
Mississippi
Power
Co
4.250
03/15/42
624,489‌
1,000,000
Mississippi
Power
Co
3.100
07/30/51
672,758‌
300,000
National
Fuel
Gas
Co
5.200
07/15/25
293,869‌
300,000
National
Fuel
Gas
Co
5.500
01/15/26
295,730‌
200,000
National
Fuel
Gas
Co
3.950
09/15/27
183,775‌
200,000
National
Fuel
Gas
Co
4.750
09/01/28
189,535‌
1,100,000
National
Fuel
Gas
Co
2.950
03/01/31
879,973‌
1,000,000
National
Grid
plc
5.602
06/12/28
1,004,189‌
1,000,000
National
Grid
plc
5.809
06/12/33
1,017,588‌
1,000,000
Nevada
Power
Co
3.700
05/01/29
925,662‌
500,000
Nevada
Power
Co
2.400
05/01/30
421,379‌
500,000
Nevada
Power
Co
3.125
08/01/50
329,669‌
500,000
Nevada
Power
Co
5.900
05/01/53
520,831‌
1,500,000
NextEra
Energy
Capital
Holdings,
Inc
4.255
09/01/24
1,475,263‌
1,250,000
NextEra
Energy
Capital
Holdings,
Inc
4.450
06/20/25
1,226,222‌
1,125,000
NextEra
Energy
Capital
Holdings,
Inc
3.550
05/01/27
1,059,734‌
1,250,000
NextEra
Energy
Capital
Holdings,
Inc
4.625
07/15/27
1,222,259‌
1,000,000
NextEra
Energy
Capital
Holdings,
Inc
4.900
02/28/28
990,096‌
2,500,000
NextEra
Energy
Capital
Holdings,
Inc
1.900
06/15/28
2,142,481‌
300,000
NextEra
Energy
Capital
Holdings,
Inc
3.500
04/01/29
273,390‌
450,000
NextEra
Energy
Capital
Holdings,
Inc
2.750
11/01/29
390,045‌
1,500,000
NextEra
Energy
Capital
Holdings,
Inc
5.000
02/28/30
1,483,287‌
2,980,000
NextEra
Energy
Capital
Holdings,
Inc
2.250
06/01/30
2,478,525‌
1,000,000
NextEra
Energy
Capital
Holdings,
Inc
2.440
01/15/32
810,753‌
450,000
NextEra
Energy
Capital
Holdings,
Inc
5.000
07/15/32
443,802‌
1,500,000
NextEra
Energy
Capital
Holdings,
Inc
5.050
02/28/33
1,476,743‌
1,000,000
NextEra
Energy
Capital
Holdings,
Inc
3.000
01/15/52
657,468‌
1,000,000
NextEra
Energy
Capital
Holdings,
Inc
5.250
02/28/53
962,673‌
1,700,000
NextEra
Energy
Capital
Holdings,
Inc
5.650
05/01/79
1,572,454‌
1,000,000
NextEra
Energy
Capital
Holdings,
Inc
3.800
03/15/82
839,529‌
500,000
NiSource,
Inc
0.950
08/15/25
455,968‌
1,000,000
NiSource,
Inc
3.490
05/15/27
940,854‌
1,500,000
NiSource,
Inc
5.250
03/30/28
1,498,814‌
750,000
NiSource,
Inc
2.950
09/01/29
656,723‌
200,000
NiSource,
Inc
3.600
05/01/30
180,116‌
800,000
NiSource,
Inc
1.700
02/15/31
625,496‌
1,000,000
NiSource,
Inc
5.400
06/30/33
1,000,669‌
77,000
NiSource,
Inc
5.950
06/15/41
78,926‌
700,000
NiSource,
Inc
5.250
02/15/43
669,438‌
450,000
NiSource,
Inc
4.800
02/15/44
408,219‌
815,000
NiSource,
Inc
5.650
02/01/45
814,263‌
350,000
NiSource,
Inc
4.375
05/15/47
297,859‌
Bond
Index
Fund
June
30,
2023
96
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
500,000
NiSource,
Inc
3.950
%
03/30/48
$
401,225‌
200,000
NiSource,
Inc
5.000
06/15/52
184,206‌
600,000
Northern
States
Power
Co
2.250
04/01/31
501,290‌
425,000
Northern
States
Power
Co
5.350
11/01/39
431,829‌
175,000
Northern
States
Power
Co
3.600
05/15/46
135,377‌
1,950,000
Northern
States
Power
Co
3.600
09/15/47
1,533,310‌
325,000
Northern
States
Power
Co
2.900
03/01/50
223,866‌
750,000
Northern
States
Power
Co
2.600
06/01/51
480,899‌
1,000,000
Northern
States
Power
Co
3.200
04/01/52
716,143‌
400,000
Northern
States
Power
Co
4.500
06/01/52
360,103‌
500,000
Northern
States
Power
Co
5.100
05/15/53
492,200‌
1,000,000
Northwest
Pipeline
LLC
4.000
04/01/27
950,216‌
200,000
NorthWestern
Corp
4.176
11/15/44
165,995‌
300,000
NSTAR
Electric
Co
3.200
05/15/27
281,754‌
1,000,000
NSTAR
Electric
Co
1.950
08/15/31
801,239‌
1,100,000
NSTAR
Electric
Co
3.100
06/01/51
769,112‌
350,000
NSTAR
Electric
Co
4.550
06/01/52
314,469‌
1,000,000
nVent
Finance
Sarl
2.750
11/15/31
795,957‌
500,000
nVent
Finance
Sarl
5.650
05/15/33
491,553‌
200,000
Nvent
Finance
Sarl
4.550
04/15/28
187,083‌
500,000
Oglethorpe
Power
Corp
4.500
04/01/47
413,022‌
500,000
Oglethorpe
Power
Corp
5.050
10/01/48
441,032‌
750,000
Oglethorpe
Power
Corp
3.750
08/01/50
556,468‌
500,000
Oglethorpe
Power
Corp
5.250
09/01/50
461,970‌
2,000,000
Ohio
Power
Co
1.625
01/15/31
1,577,050‌
500,000
Ohio
Power
Co
4.150
04/01/48
408,758‌
1,500,000
Ohio
Power
Co
4.000
06/01/49
1,214,308‌
1,000,000
Ohio
Power
Co
2.900
10/01/51
663,675‌
200,000
Oklahoma
Gas
&
Electric
Co
3.800
08/15/28
189,117‌
500,000
Oklahoma
Gas
&
Electric
Co
3.300
03/15/30
448,773‌
100,000
Oklahoma
Gas
&
Electric
Co
3
.250
04/01/30
89,198‌
200,000
Oklahoma
Gas
&
Electric
Co
4.150
04/01/47
163,600‌
200,000
Oklahoma
Gas
&
Electric
Co
3.850
08/15/47
155,365‌
500,000
Oklahoma
Gas
and
Electric
Co
5.400
01/15/33
507,985‌
1,000,000
Oklahoma
Gas
and
Electric
Co
5.600
04/01/53
1,013,885‌
400,000
Oncor
Electric
Delivery
Co
LLC
2.950
04/01/25
382,615‌
1,000,000
Oncor
Electric
Delivery
Co
LLC
0.550
10/01/25
903,657‌
750,000
Oncor
Electric
Delivery
Co
LLC
3.700
11/15/28
708,195‌
1,500,000
Oncor
Electric
Delivery
Co
LLC
5.750
03/15/29
1,556,901‌
425,000
Oncor
Electric
Delivery
Co
LLC
4.150
06/01/32
403,472‌
500,000
Oncor
Electric
Delivery
Co
LLC
4.550
09/15/32
485,210‌
100,000
Oncor
Electric
Delivery
Co
LLC
5.250
09/30/40
100,101‌
550,000
Oncor
Electric
Delivery
Co
LLC
4.550
12/01/41
504,898‌
56,000
Oncor
Electric
Delivery
Co
LLC
5.300
06/01/42
57,348‌
300,000
Oncor
Electric
Delivery
Co
LLC
3.750
04/01/45
245,095‌
400,000
Oncor
Electric
Delivery
Co
LLC
3.800
09/30/47
325,422‌
200,000
Oncor
Electric
Delivery
Co
LLC
4.100
11/15/48
171,027‌
500,000
Oncor
Electric
Delivery
Co
LLC
3.800
06/01/49
403,363‌
500,000
Oncor
Electric
Delivery
Co
LLC
3.100
09/15/49
353,081‌
200,000
Oncor
Electric
Delivery
Co
LLC
3.700
05/15/50
158,365‌
550,000
Oncor
Electric
Delivery
Co
LLC
2.700
11/15/51
356,211‌
500,000
Oncor
Electric
Delivery
Co
LLC
4.950
09/15/52
482,182‌
1,500,000
g
Oncor
Electric
Delivery
Co
LLC
4.950
09/15/52
1,446,546‌
164,000
Oncor
Electric
Delivery
Co
LLC
5.350
10/01/52
166,191‌
100,000
ONE
Gas,
Inc
2.000
05/15/30
82,788‌
500,000
ONE
Gas,
Inc
4.250
09/01/32
472,523‌
100,000
ONE
Gas,
Inc
4.658
02/01/44
89,294‌
500,000
ONE
Gas,
Inc
4.500
11/01/48
428,761‌
700,000
ONEOK
Partners
LP
4.900
03/15/25
688,201‌
130,000
ONEOK
Partners
LP
6.650
10/01/36
133,424‌
250,000
ONEOK
Partners
LP
6.850
10/15/37
256,527‌
97
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
100,000
ONEOK
Partners
LP
6.125
%
02/01/41
$
96,471‌
5,000,000
Pacific
Gas
and
Electric
Co
3.150
01/01/26
4,639,472‌
500,000
Pacific
Gas
and
Electric
Co
5.450
06/15/27
486,253‌
3,000,000
Pacific
Gas
and
Electric
Co
2.100
08/01/27
2,562,551‌
1,500,000
Pacific
Gas
and
Electric
Co
3.000
06/15/28
1,292,878‌
500,000
Pacific
Gas
and
Electric
Co
6.100
01/15/29
491,956‌
1,000,000
Pacific
Gas
and
Electric
Co
4.200
03/01/29
898,090‌
3,000,000
Pacific
Gas
and
Electric
Co
4.550
07/01/30
2,715,078‌
3,000,000
Pacific
Gas
and
Electric
Co
2.500
02/01/31
2,348,651‌
2,000,000
Pacific
Gas
and
Electric
Co
3.250
06/01/31
1,626,328‌
1,000,000
Pacific
Gas
and
Electric
Co
4.400
03/01/32
865,970‌
500,000
Pacific
Gas
and
Electric
Co
5.900
06/15/32
481,202‌
500,000
Pacific
Gas
and
Electric
Co
6.150
01/15/33
489,025‌
1,500,000
Pacific
Gas
and
Electric
Co
6.400
06/15/33
1,491,789‌
750,000
Pacific
Gas
and
Electric
Co
4.500
07/01/40
583,063‌
1,000,000
Pacific
Gas
and
Electric
Co
3.300
08/01/40
673,713‌
1,500,000
Pacific
Gas
and
Electric
Co
4.200
06/01/41
1,117,057‌
1,200,000
Pacific
Gas
and
Electric
Co
4.950
07/01/50
942,492‌
2,300,000
Pacific
Gas
and
Electric
Co
3.500
08/01/50
1,463,042‌
1,000,000
Pacific
Gas
and
Electric
Co
5.250
03/01/52
812,134‌
1,000,000
Pacific
Gas
and
Electric
Co
6
.750
01/15/53
986,895‌
400,000
Pacific
Gas
and
Electric
Co
6.700
04/01/53
392,694‌
500,000
PacifiCorp
3.500
06/15/29
447,770‌
500,000
PacifiCorp
2.700
09/15/30
416,360‌
850,000
PacifiCorp
6.000
01/15/39
832,389‌
300,000
PacifiCorp
4.125
01/15/49
232,513‌
1,300,000
PacifiCorp
4.150
02/15/50
1,006,239‌
250,000
PacifiCorp
3.300
03/15/51
171,097‌
2,000,000
PacifiCorp
2.900
06/15/52
1,246,300‌
750,000
PacifiCorp
5.350
12/01/53
685,130‌
775,000
PacifiCorp
5.500
05/15/54
727,106‌
200,000
PECO
Energy
Co
3.150
10/15/25
191,179‌
1,000,000
PECO
Energy
Co
4.900
06/15/33
998,153‌
200,000
PECO
Energy
Co
4.150
10/01/44
169,084‌
200,000
PECO
Energy
Co
3.700
09/15/47
157,964‌
1,200,000
PECO
Energy
Co
3.900
03/01/48
985,947‌
125,000
PECO
Energy
Co
3.000
09/15/49
86,873‌
100,000
PECO
Energy
Co
2.800
06/15/50
65,921‌
475,000
PECO
Energy
Co
3.050
03/15/51
328,114‌
1,000,000
PECO
Energy
Co
2.850
09/15/51
658,865‌
500,000
PECO
Energy
Co
4.600
05/15/52
457,047‌
500,000
PECO
Energy
Co
4.375
08/15/52
441,555‌
440,645
PG&E
WILDFIRE
RECOVERY
3.594
06/01/30
417,483‌
250,000
PG&E
WILDFIRE
RECOVERY
4.263
06/01/36
237,816‌
250,000
PG&E
WILDFIRE
RECOVERY
4.377
06/01/39
230,673‌
1,000,000
PG&E
WILDFIRE
RECOVERY
4.451
12/01/47
910,766‌
1,000,000
PG&E
WILDFIRE
RECOVERY
4.674
12/01/51
936,813‌
470,241
PG&E
Wildfire
Recovery
Funding
LLC
4.022
06/01/31
450,324‌
500,000
PG&E
Wildfire
Recovery
Funding
LLC
4.722
06/01/37
485,051‌
500,000
PG&E
Wildfire
Recovery
Funding
LLC
5.081
06/01/41
489,120‌
750,000
PG&E
Wildfire
Recovery
Funding
LLC
5.212
12/01/47
748,083‌
750,000
PG&E
Wildfire
Recovery
Funding
LLC
5.099
06/01/52
758,600‌
1,000,000
Piedmont
Natural
Gas
Co,
Inc
2.500
03/15/31
816,467‌
500,000
Piedmont
Natural
Gas
Co,
Inc
5.400
06/15/33
498,832‌
200,000
Piedmont
Natural
Gas
Co,
Inc
4.650
08/01/43
175,754‌
1,600,000
Piedmont
Natural
Gas
Co,
Inc
3
.350
06/01/50
1,095,905‌
1,000,000
Piedmont
Natural
Gas
Co,
Inc
5.050
05/15/52
899,868‌
1,000,000
Pinnacle
West
Capital
Corp
1.300
06/15/25
910,772‌
900,000
Potomac
Electric
Power
Co
4.150
03/15/43
776,882‌
950,000
PPL
Capital
Funding,
Inc
3.100
05/15/26
896,698‌
1,500,000
PPL
Electric
Utilities
Corp
5.000
05/15/33
1,499,364‌
Bond
Index
Fund
June
30,
2023
98
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
200,000
PPL
Electric
Utilities
Corp
4.125
%
06/15/44
$
170,241‌
275,000
PPL
Electric
Utilities
Corp
4.150
10/01/45
234,780‌
500,000
PPL
Electric
Utilities
Corp
3.950
06/01/47
418,668‌
200,000
PPL
Electric
Utilities
Corp
4.150
06/15/48
172,072‌
525,000
PPL
Electric
Utilities
Corp
3.000
10/01/49
371,296‌
1,000,000
PPL
Electric
Utilities
Corp
5.250
05/15/53
1,019,092‌
250,000
Public
Service
Co
of
Colorado
3.700
06/15/28
237,225‌
1,000,000
Public
Service
Co
of
Colorado
1.900
01/15/31
808,001‌
1,050,000
Public
Service
Co
of
Colorado
1.875
06/15/31
837,272‌
275,000
Public
Service
Co
of
Colorado
4.100
06/01/32
255,509‌
200,000
Public
Service
Co
of
Colorado
3.800
06/15/47
157,086‌
100,000
Public
Service
Co
of
Colorado
4
.100
06/15/48
82,139‌
300,000
Public
Service
Co
of
Colorado
4.050
09/15/49
243,333‌
400,000
Public
Service
Co
of
Colorado
3.200
03/01/50
282,304‌
350,000
Public
Service
Co
of
Colorado
2.700
01/15/51
221,506‌
1,000,000
Public
Service
Co
of
Colorado
5.250
04/01/53
960,389‌
1,200,000
Public
Service
Co
of
New
Hampshire
2.200
06/15/31
992,725‌
100,000
Public
Service
Co
of
New
Hampshire
3.600
07/01/49
78,117‌
500,000
Public
Service
Co
of
New
Hampshire
5.150
01/15/53
501,085‌
500,000
Public
Service
Co
of
Oklahoma
2.200
08/15/31
403,998‌
1,000,000
Public
Service
Co
of
Oklahoma
5.250
01/15/33
994,460‌
500,000
Public
Service
Co
of
Oklahoma
3.150
08/15/51
330,588‌
300,000
Public
Service
Electric
&
Gas
Co
2.250
09/15/26
275,781‌
450,000
Public
Service
Electric
&
Gas
Co
3.000
05/15/27
420,606‌
250,000
Public
Service
Electric
&
Gas
Co
3.700
05/01/28
237,822‌
500,000
Public
Service
Electric
&
Gas
Co
2.450
01/15/30
430,880‌
200,000
Public
Service
Electric
&
Gas
Co
3.800
01/01/43
166,699‌
600,000
Public
Service
Electric
&
Gas
Co
3.800
03/01/46
485,235‌
200,000
Public
Service
Electric
&
Gas
Co
3.600
12/01/47
157,026‌
250,000
Public
Service
Electric
&
Gas
Co
4.050
05/01/48
212,786‌
500,000
Public
Service
Electric
&
Gas
Co
3.850
05/01/49
409,899‌
575,000
Public
Service
Electric
&
Gas
Co
3.200
08/01/49
424,852‌
500,000
Public
Service
Electric
&
Gas
Co
3.150
01/01/50
363,547‌
175,000
Public
Service
Electric
&
Gas
Co
2.700
05/01/50
116,940‌
425,000
Public
Service
Electric
&
Gas
Co
2.050
08/01/50
250,112‌
1,000,000
Public
Service
Electric
and
Gas
Co
0.950
03/15/26
901,860‌
1,000,000
Public
Service
Electric
and
Gas
Co
1.900
08/15/31
802,802‌
225,000
Public
Service
Electric
and
Gas
Co
4.900
12/15/32
224,688‌
500,000
Public
Service
Electric
and
Gas
Co
4.650
03/15/33
490,538‌
2,000,000
Public
Service
Electric
and
Gas
Co
3.000
03/01/51
1,405,854‌
200,000
Public
Service
Electric
and
Gas
Co
5.125
03/15/53
201,535‌
400,000
Public
Service
Enterprise
Group,
Inc
0.800
08/15/25
361,702‌
1,000,000
Public
Service
Enterprise
Group,
Inc
5.850
11/15/27
1,020,128‌
400,000
Public
Service
Enterprise
Group,
Inc
1.600
08/15/30
313,308‌
1,000,000
Public
Service
Enterprise
Group,
Inc
2.450
11/15/31
808,492‌
1,585,000
Puget
Energy,
Inc
3.650
05/15/25
1,515,265‌
1,000,000
Puget
Energy,
Inc
2.379
06/15/28
862,429‌
1,000,000
Puget
Energy,
Inc
4.100
06/15/30
910,494‌
250,000
Puget
Sound
Energy,
Inc
5.757
10/01/39
254,589‌
200,000
Puget
Sound
Energy,
Inc
4.300
05/20/45
167,305‌
275,000
Puget
Sound
Energy,
Inc
3.250
09/15/49
194,401‌
750,000
Puget
Sound
Energy,
Inc
2.893
09/15/51
495,016‌
800,000
San
Diego
Gas
&
Electric
Co
2.500
05/15/26
746,982‌
500,000
San
Diego
Gas
&
Electric
Co
1.700
10/01/30
399,903‌
300,000
San
Diego
Gas
&
Electric
Co
3.750
06/01/47
233,809‌
300,000
San
Diego
Gas
&
Electric
Co
4.150
05/15/48
250,191‌
750,000
San
Diego
Gas
&
Electric
Co
4.100
06/15/49
613,855‌
675,000
San
Diego
Gas
&
Electric
Co
2.950
08/15/51
456,715‌
1,000,000
San
Diego
Gas
&
Electric
Co
3.700
03/15/52
774,155‌
1,000,000
San
Diego
Gas
&
Electric
Co
5.350
04/01/53
991,845‌
1,000,000
Santander
UK
Group
Holdings
plc
6.833
11/21/26
1,002,273‌
99
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
1,000,000
Santander
UK
Group
Holdings
plc
6.534
%
01/10/29
$
1,006,836‌
1,525,000
Sempra
Energy
3.250
06/15/27
1,410,972‌
675,000
Sempra
Energy
3.400
02/01/28
621,269‌
1,000,000
Sempra
Energy
5.500
08/01/33
993,329‌
825,000
Sempra
Energy
3.800
02/01/38
683,412‌
125,000
Sempra
Energy
6.000
10/15/39
127,899‌
850,000
Sempra
Energy
4
.000
02/01/48
661,643‌
1,380,000
Sempra
Energy
4.125
04/01/52
1,115,327‌
869,000
Sierra
Pacific
Power
Co
2.600
05/01/26
809,667‌
50,000
South
Carolina
Electric
&
Gas
Co
5.300
05/15/33
50,428‌
125,000
South
Carolina
Electric
&
Gas
Co
5.450
02/01/41
124,357‌
800,000
South
Carolina
Electric
&
Gas
Co
4.600
06/15/43
726,107‌
500,000
Southern
California
Edison
Co
0.975
08/01/24
474,624‌
500,000
Southern
California
Edison
Co
3.700
08/01/25
481,305‌
1,000,000
Southern
California
Edison
Co
1.200
02/01/26
893,202‌
500,000
Southern
California
Edison
Co
4.700
06/01/27
491,490‌
750,000
Southern
California
Edison
Co
5.850
11/01/27
766,933‌
750,000
Southern
California
Edison
Co
3.650
03/01/28
699,651‌
1,000,000
Southern
California
Edison
Co
5.300
03/01/28
999,889‌
500,000
Southern
California
Edison
Co
4.200
03/01/29
475,191‌
600,000
Southern
California
Edison
Co
2.850
08/01/29
524,188‌
1,750,000
Southern
California
Edison
Co
2.250
06/01/30
1,462,757‌
1,500,000
Southern
California
Edison
Co
2.500
06/01/31
1,246,355‌
500,000
Southern
California
Edison
Co
2.750
02/01/32
418,160‌
750,000
Southern
California
Edison
Co
5.950
11/01/32
785,024‌
185,000
Southern
California
Edison
Co
6.050
03/15/39
192,651‌
300,000
Southern
California
Edison
Co
4
.500
09/01/40
261,314‌
825,000
Southern
California
Edison
Co
4.650
10/01/43
723,106‌
450,000
Southern
California
Edison
Co
3.600
02/01/45
330,248‌
1,937,000
Southern
California
Edison
Co
4.000
04/01/47
1,537,920‌
1,675,000
Southern
California
Edison
Co
4.125
03/01/48
1,358,650‌
1,500,000
Southern
California
Edison
Co
2.950
02/01/51
982,269‌
1,000,000
Southern
California
Edison
Co
3.650
06/01/51
741,625‌
500,000
Southern
California
Edison
Co
3.450
02/01/52
357,602‌
1,000,000
Southern
California
Edison
Co
5.700
03/01/53
999,776‌
500,000
Southern
California
Edison
Co
5.875
12/01/53
509,932‌
200,000
Southern
California
Gas
Co
3
.200
06/15/25
191,458‌
200,000
Southern
California
Gas
Co
2.600
06/15/26
186,394‌
1,000,000
Southern
California
Gas
Co
2.950
04/15/27
932,763‌
500,000
Southern
California
Gas
Co
2.550
02/01/30
429,816‌
1,000,000
Southern
California
Gas
Co
5.200
06/01/33
986,725‌
150,000
Southern
California
Gas
Co
3.750
09/15/42
117,888‌
500,000
Southern
California
Gas
Co
4.125
06/01/48
405,009‌
300,000
Southern
California
Gas
Co
4.300
01/15/49
249,768‌
500,000
Southern
California
Gas
Co
3.950
02/15/50
390,086‌
500,000
Southern
California
Gas
Co
6.350
11/15/52
553,834‌
1,000,000
Southern
California
Gas
Co
5.750
06/01/53
1,010,623‌
2,000,000
Southern
Co
5.113
08/01/27
1,981,332‌
1,500,000
Southern
Co
1.750
03/15/28
1,280,526‌
2,500,000
Southern
Co
3.700
04/30/30
2,292,056‌
1,000,000
Southern
Co
5.200
06/15/33
991,859‌
400,000
Southern
Co
4.250
07/01/36
356,146‌
800,000
Southern
Co
4.400
07/01/46
684,152‌
1,000,000
Southern
Co
4.000
01/15/51
924,820‌
1,500,000
Southern
Co
3.750
09/15/51
1,276,500‌
400,000
Southern
Co
Gas
Capital
Corp
3.250
06/15/26
376,988‌
500,000
Southern
Co
Gas
Capital
Corp
1.750
01/15/31
392,831‌
275,000
Southern
Co
Gas
Capital
Corp
4.400
06/01/43
227,274‌
100,000
Southern
Co
Gas
Capital
Corp
3.950
10/01/46
77,148‌
900,000
Southern
Co
Gas
Capital
Corp
4.400
05/30/47
747,204‌
175,000
Southern
Co
Gas
Capital
Corp
3.150
09/30/51
118,086‌
Bond
Index
Fund
June
30,
2023
100
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
200,000
Southern
Power
Co
4.150
%
12/01/25
$
195,113‌
950,000
Southern
Power
Co
0.900
01/15/26
851,254‌
300,000
Southern
Power
Co
4.950
12/15/46
263,128‌
500,000
Southwest
Gas
Corp
5.800
12/01/27
504,957‌
500,000
Southwest
Gas
Corp
5.450
03/23/28
498,477‌
150,000
Southwest
Gas
Corp
3.700
04/01/28
139,107‌
100,000
Southwest
Gas
Corp
2.200
06/15/30
81,227‌
500,000
Southwest
Gas
Corp
4.050
03/15/32
450,201‌
100,000
Southwest
Gas
Corp
3.800
09/29/46
72,473‌
500,000
Southwest
Gas
Corp
4.150
06/01/49
387,740‌
1,000,000
Southwest
Gas
Corp
3.180
08/15/51
640,093‌
500,000
Southwestern
Electric
Power
Co
2.750
10/01/26
458,462‌
675,000
Southwestern
Electric
Power
Co
4.100
09/15/28
639,843‌
500,000
Southwestern
Electric
Power
Co
5.300
04/01/33
493,499‌
750,000
Southwestern
Electric
Power
Co
3.850
02/01/48
561,301‌
750,000
Southwestern
Electric
Power
Co
3.250
11/01/51
503,006‌
600,000
Southwestern
Public
Service
Co
4.500
08/15/41
522,232‌
300,000
Southwestern
Public
Service
Co
3.400
08/15/46
216,530‌
225,000
Southwestern
Public
Service
Co
3.700
08/15/47
172,434‌
200,000
Southwestern
Public
Service
Co
4.400
11/15/48
170,655‌
750,000
Southwestern
Public
Service
Co
3.750
06/15/49
574,756‌
650,000
Southwestern
Public
Service
Co
3.150
05/01/50
452,357‌
500,000
Spire
Missouri,
Inc
4.800
02/15/33
491,773‌
1,500,000
Spire
Missouri,
Inc
3.300
06/01/51
1,049,437‌
1,000,000
System
Energy
Resources,
Inc
6.000
04/15/28
988,471‌
1,000,000
Tampa
Electric
Co
2.400
03/15/31
823,021‌
100,000
Tampa
Electric
Co
4.100
06/15/42
83,865‌
175,000
Tampa
Electric
Co
4.350
05/15/44
147,933‌
200,000
Tampa
Electric
Co
4.300
06/15/48
167,099‌
200,000
Tampa
Electric
Co
4.450
06/15/49
169,496‌
575,000
Tampa
Electric
Co
3.625
06/15/50
426,497‌
925,000
Tampa
Electric
Co
3.450
03/15/51
661,393‌
300,000
TC
PipeLines
LP
4.375
03/13/25
291,363‌
350,000
TC
PipeLines
LP
3.900
05/25/27
333,212‌
200,000
Tucson
Electric
Power
Co
3.050
03/15/25
191,303‌
125,000
Tucson
Electric
Power
Co
1
.500
08/01/30
98,508‌
200,000
Tucson
Electric
Power
Co
4.850
12/01/48
176,788‌
2,000,000
Tucson
Electric
Power
Co
3.250
05/01/51
1,368,808‌
500,000
Tucson
Electric
Power
Co
5.500
04/15/53
497,778‌
200,000
Union
Electric
Co
2.950
06/15/27
186,118‌
300,000
Union
Electric
Co
3.500
03/15/29
276,077‌
500,000
Union
Electric
Co
2.950
03/15/30
443,271‌
1,000,000
Union
Electric
Co
2.150
03/15/32
800,324‌
100,000
Union
Electric
Co
8.450
03/15/39
130,441‌
100,000
Union
Electric
Co
3.900
09/15/42
81,578‌
100,000
Union
Electric
Co
3.650
04/15/45
77,403‌
200,000
Union
Electric
Co
4.000
04/01/48
163,945‌
1,000,000
Union
Electric
Co
3.250
10/01/49
704,684‌
675,000
Union
Electric
Co
2.625
03/15/51
432,047‌
125,000
Union
Electric
Co
3.900
04/01/52
101,940‌
325,000
Union
Electric
Co
5.450
03/15/53
331,172‌
100,000
United
Utilities
plc
6.875
08/15/28
107,656‌
900,000
Virginia
Electric
&
Power
Co
2.950
11/15/26
833,744‌
1,750,000
Virginia
Electric
&
Power
Co
3.500
03/15/27
1,656,174‌
2,000,000
Virginia
Electric
&
Power
Co
3.800
04/01/28
1,894,782‌
1,000,000
Virginia
Electric
&
Power
Co
2.875
07/15/29
887,361‌
250,000
Virginia
Electric
&
Power
Co
4.650
08/15/43
221,636‌
400,000
Virginia
Electric
&
Power
Co
4.450
02/15/44
342,691‌
200,000
Virginia
Electric
&
Power
Co
4.200
05/15/45
164,303‌
1,100,000
Virginia
Electric
&
Power
Co
4.000
11/15/46
876,932‌
700,000
Virginia
Electric
&
Power
Co
3.800
09/15/47
546,991‌
101
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
1,300,000
Virginia
Electric
&
Power
Co
4
.600
%
12/01/48
$
1,157,741‌
500,000
Virginia
Electric
&
Power
Co
3.300
12/01/49
358,216‌
500,000
Virginia
Electric
and
Power
Co
3.750
05/15/27
478,764‌
1,000,000
Virginia
Electric
and
Power
Co
2.300
11/15/31
811,306‌
1,000,000
Virginia
Electric
and
Power
Co
2.400
03/30/32
815,425‌
750,000
Virginia
Electric
and
Power
Co
5.000
04/01/33
741,243‌
500,000
Virginia
Electric
and
Power
Co
2.450
12/15/50
299,297‌
500,000
Virginia
Electric
and
Power
Co
4.625
05/15/52
442,282‌
1,500,000
Virginia
Electric
and
Power
Co
5.450
04/01/53
1,500,472‌
200,000
Washington
Gas
Light
Co
3.796
09/15/46
152,622‌
700,000
Washington
Gas
Light
Co
3.650
09/15/49
520,247‌
365,000
WEC
Energy
Group,
Inc
3.550
06/15/25
350,041‌
1,000,000
WEC
Energy
Group,
Inc
5.150
10/01/27
998,619‌
500,000
WEC
Energy
Group,
Inc
1.375
10/15/27
427,008‌
1,000,000
WEC
Energy
Group,
Inc
4.750
01/15/28
977,214‌
500,000
WEC
Energy
Group,
Inc
1.800
10/15/30
397,378‌
500,000
Westar
Energy,
Inc
4.125
03/01/42
420,851‌
175,000
Westar
Energy,
Inc
4.100
04/01/43
145,263‌
375,000
Westar
Energy,
Inc
3.250
09/01/49
263,814‌
3,500,000
Western
Midstream
Operating
LP
6.150
04/01/33
3,527,615‌
175,000
Wisconsin
Electric
Power
Co
2.050
12/15/24
166,213‌
1,000,000
Wisconsin
Electric
Power
Co
1.700
06/15/28
857,299‌
575,000
Wisconsin
Electric
Power
Co
4.750
09/30/32
562,869‌
200,000
Wisconsin
Electric
Power
Co
5.625
05/15/33
207,405‌
200,000
Wisconsin
Electric
Power
Co
4.300
10/15/48
172,360‌
325,000
Wisconsin
Power
&
Light
Co
3.050
10/15/27
301,878‌
500,000
Wisconsin
Power
&
Light
Co
3.000
07/01/29
448,217‌
225,000
Wisconsin
Power
&
Light
Co
3.650
04/01/50
169,851‌
500,000
Wisconsin
Power
and
Light
Co
3.950
09/01/32
461,414‌
150,000
Wisconsin
Power
and
Light
Co
4.950
04/01/33
148,352‌
200,000
Wisconsin
Public
Service
Corp
4.752
11/01/44
181,176‌
300,000
Wisconsin
Public
Service
Corp
3.300
09/01/49
215,531‌
550,000
Wisconsin
Public
Service
Corp
2.850
12/01/51
362,557‌
750,000
Xcel
Energy,
Inc
3.350
12/01/26
703,572‌
1,000,000
Xcel
Energy,
Inc
1.750
03/15/27
885,328‌
900,000
Xcel
Energy,
Inc
4.000
06/15/28
856,395‌
1,000,000
Xcel
Energy,
Inc
2.350
11/15/31
794,977‌
200,000
Xcel
Energy,
Inc
4.800
09/15/41
176,426‌
500,000
Xcel
Energy,
Inc
3.500
12/01/49
362,479‌
1,000,000
Yale
Haven
Health
Services
Corp
2.496
07/01/50
605,185‌
TOTAL
UTILITIES
484,897,040‌
TOTAL
CORPORATE
BONDS
5,282,040,463‌
(Cost
$5,982,695,397)
GOVERNMENT
BONDS
-
72.0%
AGENCY
SECURITIES
-
0.8%
10,000,000
Federal
Farm
Credit
Bank
(FFCB)
0.300
09/01/23
9,910,470‌
1,145,000
FFCB
3.500
12/20/23
1,133,989‌
1,670,000
FFCB
0.250
02/26/24
1,614,991‌
7,500,000
FFCB
2.625
05/16/24
7,318,100‌
1,500,000
FFCB
3.375
08/26/24
1,466,203‌
10,000,000
FFCB
4.250
09/26/24
9,868,487‌
1,750,000
FFCB
1.125
01/06/25
1,647,277‌
4,000,000
FFCB
1.750
02/14/25
3,792,759‌
2,000,000
FFCB
4.375
06/23/26
1,993,362‌
5,000,000
FFCB
1
.650
07/23/35
3,612,435‌
4,000,000
Federal
Home
Loan
Bank
(FHLB)
2.750
06/28/24
3,895,990‌
615,000
FHLB
3.000
07/08/24
599,982‌
1,800,000
FHLB
5.000
02/28/25
1,795,153‌
3,000,000
FHLB
4.625
06/06/25
2,978,487‌
Bond
Index
Fund
June
30,
2023
102
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
AGENCY
SECURITIES—continued
$
2,000,000
FHLB
0.375
%
09/04/25
$
1,821,924‌
13,875,000
FHLB
3.250
11/16/28
13,259,960‌
3,782,000
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
0.250
12/04/23
3,700,321‌
10,000,000
FHLMC
1.500
02/12/25
9,439,741‌
6,000,000
FHLMC
0.375
07/21/25
5,474,335‌
5,000,000
FHLMC
0.375
09/23/25
4,536,833‌
5,250,000
Federal
National
Mortgage
Association
(FNMA)
0.250
07/10/23
5,245,251‌
1,000,000
FNMA
2.875
09/12/23
994,866‌
2,500,000
e
FNMA
2.500
02/05/24
2,455,734‌
5,000,000
FNMA
1.750
07/02/24
4,821,599‌
13,700,000
FNMA
2.625
09/06/24
13,293,876‌
3,000,000
FNMA
1.625
01/07/25
2,844,495‌
4,000,000
FNMA
0.625
04/22/25
3,699,263‌
10,000,000
FNMA
0.375
08/25/25
9,099,485‌
4,500,000
FNMA
0.500
11/07/25
4,078,426‌
4,000,000
FNMA
1.875
09/24/26
3,691,986‌
3,000,000
e
FNMA
0.750
10/08/27
2,602,913‌
10,000,000
FNMA
0.875
08/05/30
8,038,386‌
5,000,000
FNMA
6.625
11/15/30
5,801,299‌
1,000,000
FNMA
5.625
07/15/37
1,146,349‌
1,300,000
Hashemite
Kingdom
of
Jordan
Government
AID
Bond
3.000
06/30/25
1,237,237‌
800,000
Israel
Government
AID
International
Bond
5.500
09/18/23
799,665‌
300,000
Israel
Government
AID
International
Bond
5.500
04/26/24
299,769‌
250,000
Private
Export
Funding
Corp
(PEFCO)
1.750
11/15/24
238,216‌
200,000
PEFCO
3.250
06/15/25
192,585‌
1,000,000
PEFCO
3.900
10/15/27
979,654‌
750,000
Tennessee
Valley
Authority
(TVA)
2.875
09/15/24
727,344‌
2,000,000
TVA
0.750
05/15/25
1,845,352‌
1,425,000
TVA
2.875
02/01/27
1,340,264‌
1,000,000
TVA
3.875
03/15/28
983,894‌
5,000,000
TVA
1.500
09/15/31
4,040,688‌
500,000
TVA
5.880
04/01/36
567,419‌
500,000
TVA
5.500
06/15/38
546,927‌
4,300,000
TVA
3.500
12/15/42
3,602,547‌
750,000
TVA
4.250
09/15/52
687,275‌
1,750,000
TVA
4.625
09/15/60
1,693,148‌
300,000
TVA
4.250
09/15/65
269,011‌
TOTAL
AGENCY
SECURITIES
177,725,722‌
FOREIGN
GOVERNMENT
BONDS
-
3.2%
5,000,000
African
Development
Bank
0.875
03/23/26
4,515,917‌
3,000,000
African
Development
Bank
0.875
07/22/26
2,678,406‌
2,250,000
Asian
Development
Bank
0.250
07/14/23
2,247,438‌
2,000,000
Asian
Development
Bank
0.250
10/06/23
1,974,303‌
2,200,000
Asian
Development
Bank
2.625
01/30/24
2,163,874‌
1,220,000
Asian
Development
Bank
0.625
10/08/24
1,150,006‌
2,000,000
e
Asian
Development
Bank
1.500
10/18/24
1,904,818‌
500,000
Asian
Development
Bank
2.000
01/22/25
476,387‌
3,000,000
Asian
Development
Bank
2.875
05/06/25
2,886,003‌
6,000,000
Asian
Development
Bank
0.375
09/03/25
5,454,605‌
3,000,000
Asian
Development
Bank
0.500
02/04/26
2,697,334‌
5,000,000
e
Asian
Development
Bank
1.000
04/14/26
4,529,032‌
1,500,000
Asian
Development
Bank
2.000
04/24/26
1,396,427‌
1,000,000
Asian
Development
Bank
2.625
01/12/27
938,721‌
6,000,000
Asian
Development
Bank
1.500
01/20/27
5,411,121‌
500,000
Asian
Development
Bank
2.375
08/10/27
463,383‌
500,000
Asian
Development
Bank
2.500
11/02/27
463,951‌
1,000,000
Asian
Development
Bank
2.750
01/19/28
936,487‌
1,000,000
Asian
Development
Bank
3.750
04/25/28
976,870‌
2,500,000
Asian
Development
Bank
1.250
06/09/28
2,165,999‌
75,000
Asian
Development
Bank
5.820
06/16/28
79,723‌
103
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
2,575,000
Asian
Development
Bank
3
.125
%
09/26/28
$
2,434,642‌
2,000,000
Asian
Development
Bank
1.750
09/19/29
1,736,975‌
3,500,000
Asian
Development
Bank
1.875
01/24/30
3,044,357‌
1,000,000
Asian
Development
Bank
0.750
10/08/30
790,539‌
3,000,000
e
Asian
Development
Bank
1.500
03/04/31
2,492,546‌
500,000
Asian
Development
Bank
3.125
04/27/32
467,468‌
2,400,000
Asian
Development
Bank
3.875
09/28/32
2,375,521‌
2,000,000
Asian
Development
Bank
4.000
01/12/33
1,997,809‌
1,000,000
Asian
Development
Bank
3.875
06/14/33
988,294‌
3,000,000
Asian
Infrastructure
Investment
Bank
0.500
10/30/24
2,809,909‌
3,000,000
Asian
Infrastructure
Investment
Bank
0.500
05/28/25
2,745,463‌
3,000,000
Asian
Infrastructure
Investment
Bank
0.500
01/27/26
2,685,102‌
2,000,000
Asian
Infrastructure
Investment
Bank
3.750
09/14/27
1,942,683‌
2,000,000
Asian
Infrastructure
Investment
Bank
4.000
01/18/28
1,961,808‌
3,000,000
Canada
Government
International
Bond
1.625
01/22/25
2,843,158‌
1,870,000
Canada
Government
International
Bond
2.875
04/28/25
1,800,553‌
1,000,000
Canada
Government
International
Bond
0.750
05/19/26
897,328‌
3,620,000
Canada
Government
International
Bond
3.750
04/26/28
3,542,619‌
600,000
Chile
Government
International
Bond
2.750
01/31/27
555,511‌
1,715,000
Chile
Government
International
Bond
3.240
02/06/28
1,609,491‌
2,500,000
e
Chile
Government
International
Bond
2.450
01/31/31
2,153,757‌
3,500,000
e
Chile
Government
International
Bond
2.550
01/27/32
2,988,159‌
1,000,000
Chile
Government
International
Bond
2.550
07/27/33
816,681‌
600,000
Chile
Government
International
Bond
3.500
01/31/34
528,055‌
1,500,000
h
Chile
Government
International
Bond
4.950
01/05/36
1,479,905‌
1,700,000
Chile
Government
International
Bond
3.100
05/07/41
1,274,119‌
1,000,000
Chile
Government
International
Bond
4.340
03/07/42
886,515‌
2,613,000
Chile
Government
International
Bond
3.500
01/25/50
1,958,262‌
1,500,000
Chile
Government
International
Bond
3.500
04/15/53
1,115,295‌
1,500,000
h
Chile
Government
International
Bond
5.330
01/05/54
1,488,331‌
2,500,000
Chile
Government
International
Bond
3.100
01/22/61
1,629,189‌
750,000
Chile
Government
International
Bond
3.250
09/21/71
485,631‌
750,000
Corp
Andina
de
Fomento
3.750
11/23/23
743,408‌
1,125,000
Corp
Andina
de
Fomento
1.250
10/26/24
1,056,079‌
1,000,000
e
Corp
Andina
de
Fomento
1.625
09/23/25
918,363‌
1,000,000
Corp
Andina
de
Fomento
5.250
11/21/25
990,262‌
1,000,000
Corp
Andina
de
Fomento
4.750
04/01/26
979,529‌
1,480,000
Council
of
Europe
Development
Bank
1.375
02/27/25
1,392,573‌
1,500,000
Council
Of
Europe
Development
Bank
3.000
06/16/25
1,443,199‌
2,000,000
Council
Of
Europe
Development
Bank
0.875
09/22/26
1,776,554‌
1,500,000
Council
Of
Europe
Development
Bank
3.625
01/26/28
1,456,873‌
2,000,000
European
Bank
for
Reconstruction
&
Development
1.625
09/27/24
1,909,961‌
3,000,000
European
Bank
for
Reconstruction
&
Development
0.500
11/25/25
2,714,295‌
2,000,000
e
European
Bank
for
Reconstruction
&
Development
0.500
01/28/26
1,797,865‌
4,000,000
European
Investment
Bank
2.250
06/24/24
3,876,292‌
5,000,000
European
Investment
Bank
0.375
07/24/24
4,744,704‌
1,500,000
European
Investment
Bank
2.500
10/15/24
1,447,477‌
3,250,000
European
Investment
Bank
1.625
03/14/25
3,069,306‌
3,500,000
European
Investment
Bank
0.625
07/25/25
3,211,097‌
5,000,000
European
Investment
Bank
2.750
08/15/25
4,789,018‌
3,000,000
European
Investment
Bank
0.375
12/15/25
2,702,338‌
3,500,000
European
Investment
Bank
0.375
03/26/26
3,123,238‌
2,760,000
European
Investment
Bank
0.750
10/26/26
2,443,158‌
7,000,000
European
Investment
Bank
1.375
03/15/27
6,267,907‌
400,000
European
Investment
Bank
2.375
05/24/27
370,696‌
250,000
European
Investment
Bank
0.625
10/21/27
214,269‌
1,310,000
European
Investment
Bank
3.250
11/15/27
1,257,588‌
4,000,000
European
Investment
Bank
3.875
03/15/28
3,935,294‌
550,000
European
Investment
Bank
1.625
10/09/29
475,880‌
1,000,000
European
Investment
Bank
0.875
05/17/30
810,198‌
2,000,000
European
Investment
Bank
3.625
07/15/30
1,942,427‌
Bond
Index
Fund
June
30,
2023
104
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
2,000,000
European
Investment
Bank
0.750
%
09/23/30
$
1,593,803‌
2,500,000
European
Investment
Bank
1.250
02/14/31
2,053,639‌
3,660,000
European
Investment
Bank
3.750
02/14/33
3,603,858‌
1,705,000
European
Investment
Bank
4.875
02/15/36
1,828,679‌
1,300,000
Export
Development
Canada
2.625
02/21/24
1,276,169‌
4,000,000
Export
Development
Canada
3.375
08/26/25
3,880,225‌
1,000,000
Export
Development
Canada
4.375
06/29/26
994,160‌
2,700,000
Export
Development
Canada
3.875
02/14/28
2,651,105‌
1,375,000
Export-Import
Bank
of
Korea
3.625
11/27/23
1,364,783‌
500,000
Export-Import
Bank
of
Korea
4.000
01/14/24
494,960‌
750,000
Export-Import
Bank
of
Korea
2.875
01/21/25
720,073‌
750,000
Export-Import
Bank
of
Korea
1.875
02/12/25
708,833‌
1,000,000
Export-Import
Bank
of
Korea
0.750
09/21/25
902,731‌
250,000
Export-Import
Bank
of
Korea
3.250
11/10/25
236,937‌
1,000,000
Export-Import
Bank
of
Korea
0.625
02/09/26
884,573‌
500,000
Export-Import
Bank
of
Korea
2.625
05/26/26
460,817‌
500,000
Export-Import
Bank
of
Korea
3.250
08/12/26
467,085‌
750,000
Export-Import
Bank
of
Korea
1.125
12/29/26
647,617‌
1,000,000
Export-Import
Bank
of
Korea
1.625
01/18/27
892,380‌
500,000
Export-Import
Bank
of
Korea
2.375
04/21/27
455,311‌
1,000,000
Export-Import
Bank
of
Korea
4.250
09/15/27
976,276‌
1,500,000
Export-Import
Bank
of
Korea
5.000
01/11/28
1,507,313‌
1,000,000
Export-Import
Bank
of
Korea
1.250
09/21/30
796,471‌
1,000,000
Export-Import
Bank
of
Korea
1.375
02/09/31
791,623‌
1,000,000
Export-Import
Bank
of
Korea
2.125
01/18/32
820,335‌
485,000
Export-Import
Bank
of
Korea
4
.500
09/15/32
478,453‌
1,500,000
Export-Import
Bank
of
Korea
5.125
01/11/33
1,540,331‌
1,000,000
Export-Import
Bank
of
Korea
2.500
06/29/41
737,721‌
100,000
Finland
Government
International
Bond
6.950
02/15/26
104,417‌
1,250,000
Hungary
Government
International
Bond
7.625
03/29/41
1,407,059‌
200,000
Hydro
Quebec
8.500
12/01/29
239,868‌
1,000,000
Indonesia
Government
International
Bond
4.150
09/20/27
968,898‌
750,000
Indonesia
Government
International
Bond
3.500
01/11/28
704,300‌
1,500,000
Indonesia
Government
International
Bond
4.550
01/11/28
1,480,343‌
900,000
Indonesia
Government
International
Bond
4.750
02/11/29
888,424‌
1,250,000
Indonesia
Government
International
Bond
3.400
09/18/29
1,141,537‌
1,000,000
Indonesia
Government
International
Bond
2.850
02/14/30
884,759‌
675,000
Indonesia
Government
International
Bond
3.850
10/15/30
629,115‌
1,500,000
Indonesia
Government
International
Bond
1.850
03/12/31
1,209,215‌
1,500,000
Indonesia
Government
International
Bond
2.150
07/28/31
1,228,304‌
300,000
Indonesia
Government
International
Bond
3.550
03/31/32
270,762‌
1,000,000
Indonesia
Government
International
Bond
4.650
09/20/32
977,741‌
1,275,000
Indonesia
Government
International
Bond
4.850
01/11/33
1,266,340‌
875,000
Indonesia
Government
International
Bond
4.350
01/11/48
769,143‌
1,125,000
Indonesia
Government
International
Bond
5.350
02/11/49
1,130,270‌
1,000,000
e
Indonesia
Government
International
Bond
3.700
10/30/49
789,078‌
1,000,000
e
Indonesia
Government
International
Bond
3.500
02/14/50
762,847‌
2,000,000
e
Indonesia
Government
International
Bond
4.200
10/15/50
1,700,111‌
485,000
Indonesia
Government
International
Bond
4.300
03/31/52
415,676‌
500,000
Indonesia
Government
International
Bond
5.450
09/20/52
507,405‌
1,500,000
Indonesia
Government
International
Bond
5.650
01/11/53
1,564,311‌
1,000,000
Indonesia
Government
International
Bond
3.200
09/23/61
677,617‌
500,000
Indonesia
Government
International
Bond
4.450
04/15/70
422,296‌
1,750,000
Indonesia
Government
International
Bond
3.350
03/12/71
1,200,247‌
1,500,000
Inter-American
Development
Bank
2.625
01/16/24
1,477,784‌
500,000
Inter-American
Development
Bank
2.125
01/15/25
477,284‌
5,000,000
Inter-American
Development
Bank
1.750
03/14/25
4,728,053‌
10,000,000
Inter-American
Development
Bank
0.625
07/15/25
9,178,490‌
4,000,000
Inter-American
Development
Bank
0.875
04/20/26
3,608,446‌
1,500,000
Inter-American
Development
Bank
2.000
06/02/26
1,391,573‌
1,500,000
e
Inter-American
Development
Bank
2.000
07/23/26
1,388,726‌
105
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
5,000,000
Inter-American
Development
Bank
1.500
%
01/13/27
$
4,510,536‌
1,000,000
Inter-American
Development
Bank
2.375
07/07/27
928,506‌
2,000,000
Inter-American
Development
Bank
0.625
09/16/27
1,718,698‌
3,000,000
Inter-American
Development
Bank
4.000
01/12/28
2,963,592‌
4,000,000
Inter-American
Development
Bank
1.125
07/20/28
3,427,517‌
2,000,000
Inter-American
Development
Bank
3.125
09/18/28
1,889,096‌
3,000,000
Inter-American
Development
Bank
2.250
06/18/29
2,682,855‌
2,000,000
e
Inter-American
Development
Bank
3.500
09/14/29
1,927,476‌
3,000,000
Inter-American
Development
Bank
1.125
01/13/31
2,426,193‌
1,450,000
Inter-American
Development
Bank
3.200
08/07/42
1,232,174‌
300,000
Inter-American
Development
Bank
4.375
01/24/44
300,007‌
2,000,000
Inter-American
Investment
Corp
2.625
04/22/25
1,909,583‌
2,000,000
International
Bank
for
Reconstruction
&
Development
1.500
08/28/24
1,913,498‌
1,600,000
International
Bank
for
Reconstruction
&
Development
2.500
11/25/24
1,540,917‌
5,000,000
International
Bank
for
Reconstruction
&
Development
1.625
01/15/25
4,740,455‌
6,000,000
International
Bank
for
Reconstruction
&
Development
0
.375
07/28/25
5,476,916‌
4,500,000
International
Bank
for
Reconstruction
&
Development
2.500
07/29/25
4,293,808‌
5,500,000
International
Bank
for
Reconstruction
&
Development
0.500
10/28/25
4,992,014‌
500,000
International
Bank
for
Reconstruction
&
Development
3.125
11/20/25
481,857‌
7,000,000
International
Bank
for
Reconstruction
&
Development
0.875
07/15/26
6,269,172‌
2,000,000
International
Bank
for
Reconstruction
&
Development
0
.750
11/24/27
1,717,172‌
2,000,000
International
Bank
for
Reconstruction
&
Development
3.500
07/12/28
1,930,786‌
6,000,000
International
Bank
for
Reconstruction
&
Development
3.625
09/21/29
5,821,784‌
2,000,000
International
Bank
for
Reconstruction
&
Development
1.750
10/23/29
1,734,047‌
6,000,000
International
Bank
for
Reconstruction
&
Development
3.875
02/14/30
5,905,463‌
5,000,000
e
International
Bank
for
Reconstruction
&
Development
0
.875
05/14/30
4,029,285‌
3,000,000
International
Bank
for
Reconstruction
&
Development
0.750
08/26/30
2,376,692‌
5,000,000
International
Bank
for
Reconstruction
&
Development
1.250
02/10/31
4,079,539‌
5,000,000
International
Bank
for
Reconstruction
&
Development
1.625
11/03/31
4,171,171‌
5,000,000
e
International
Bank
for
Reconstruction
&
Development
2.500
03/29/32
4,461,978‌
834,000
International
Bank
for
Reconstruction
&
Development
4
.750
02/15/35
874,747‌
1,300,000
International
Finance
Corp
2.875
07/31/23
1,297,817‌
2,500,000
International
Finance
Corp
0.375
07/16/25
2,286,051‌
5,000,000
International
Finance
Corp
0.750
08/27/30
3,967,913‌
1,000,000
Israel
Government
International
Bond
2.875
03/16/26
946,250‌
975,000
Israel
Government
International
Bond
3.250
01/17/28
910,377‌
600,000
Israel
Government
International
Bond
2.750
07/03/30
529,644‌
1,915,000
Israel
Government
International
Bond
4.500
01/17/33
1,878,921‌
1,500,000
Israel
Government
International
Bond
4.500
01/30/43
1,375,335‌
200,000
Israel
Government
International
Bond
4.125
01/17/48
170,876‌
1,800,000
Israel
Government
International
Bond
3.875
07/03/50
1,475,597‌
300,000
Israel
Government
International
Bond
4.500
04/03/20
241,771‌
4,250,000
Japan
Bank
for
International
Cooperation
3.375
10/31/23
4,217,663‌
2,300,000
Japan
Bank
for
International
Cooperation
2.500
05/23/24
2,234,906‌
720,000
Japan
Bank
for
International
Cooperation
1.750
10/17/24
685,885‌
500,000
e
Japan
Bank
for
International
Cooperation
2.125
02/10/25
474,774‌
1,200,000
Japan
Bank
for
International
Cooperation
2.875
04/14/25
1,149,165‌
3,000,000
Japan
Bank
for
International
Cooperation
0.625
07/15/25
2,741,876‌
5,750,000
Japan
Bank
for
International
Cooperation
2.750
01/21/26
5,444,787‌
400,000
Japan
Bank
for
International
Cooperation
2.375
04/20/26
373,357‌
1,000,000
Japan
Bank
for
International
Cooperation
4.250
04/27/26
981,736‌
1,500,000
Japan
Bank
for
International
Cooperation
1.875
07/21/26
1,368,541‌
1,000,000
Japan
Bank
for
International
Cooperation
2.875
06/01/27
929,463‌
750,000
Japan
Bank
for
International
Cooperation
2.875
07/21/27
698,668‌
300,000
Japan
Bank
for
International
Cooperation
2.750
11/16/27
276,963‌
750,000
Japan
Bank
for
International
Cooperation
3.500
10/31/28
708,421‌
2,000,000
Japan
Bank
for
International
Cooperation
2.125
02/16/29
1,744,351‌
1,000,000
Japan
Bank
for
International
Cooperation
2
.000
10/17/29
859,194‌
1,500,000
Japan
Bank
for
International
Cooperation
1.250
01/21/31
1,184,033‌
3,000,000
Japan
Bank
for
International
Cooperation
1.875
04/15/31
2,478,026‌
350,000
Japan
International
Cooperation
Agency
2.125
10/20/26
319,979‌
Bond
Index
Fund
June
30,
2023
106
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
1,900,000
Japan
International
Cooperation
Agency
3.250
%
05/25/27
$
1,785,031‌
1,000,000
Japan
International
Cooperation
Agency
4.000
05/23/28
969,355‌
700,000
Japan
International
Cooperation
Agency
3.375
06/12/28
658,358‌
2,000,000
Japan
International
Cooperation
Agency
1.000
07/22/30
1,566,321‌
1,500,000
Japan
International
Cooperation
Agency
1.750
04/28/31
1,219,763‌
950,000
Korea
Development
Bank
0.500
10/27/23
933,984‌
500,000
Korea
Development
Bank
3.750
01/22/24
494,940‌
700,000
Korea
Development
Bank
3.250
02/19/24
690,106‌
500,000
Korea
Development
Bank
0.400
06/19/24
475,679‌
1,000,000
Korea
Development
Bank
2.125
10/01/24
958,799‌
750,000
Korea
Development
Bank
1.750
02/18/25
707,607‌
200,000
Korea
Development
Bank
3.375
09/16/25
191,468‌
400,000
Korea
Development
Bank
3.000
01/13/26
377,159‌
1,000,000
Korea
Development
Bank
0.800
04/27/26
880,462‌
1,000,000
Korea
Development
Bank
0.800
07/19/26
868,663‌
1,000,000
Korea
Development
Bank
1.000
09/09/26
871,905‌
250,000
e
Korea
Development
Bank
2.000
09/12/26
225,116‌
1,000,000
Korea
Development
Bank
2.250
02/24/27
913,165‌
1,000,000
Korea
Development
Bank
1.625
01/19/31
805,990‌
500,000
Korea
Government
International
Bond
3.875
09/11/23
498,282‌
1,500,000
Korea
Government
International
Bond
2.750
01/19/27
1,416,384‌
1,400,000
Korea
Government
International
Bond
4.125
06/10/44
1,314,032‌
500,000
Korea
Government
International
Bond
3.875
09/20/48
447,293‌
3,000,000
Kreditanstalt
fuer
Wiederaufbau
2.625
02/28/24
2,943,243‌
6,100,000
Kreditanstalt
fuer
Wiederaufbau
0.250
03/08/24
5,887,806‌
5,000,000
Kreditanstalt
fuer
Wiederaufbau
0.500
09/20/24
4,714,330‌
2,000,000
Kreditanstalt
fuer
Wiederaufbau
2.500
11/20/24
1,925,508‌
5,000,000
Kreditanstalt
fuer
Wiederaufbau
1.250
01/31/25
4,704,012‌
7,000,000
Kreditanstalt
fuer
Wiederaufbau
2.000
05/02/25
6,629,669‌
4,500,000
Kreditanstalt
fuer
Wiederaufbau
0.625
01/22/26
4,065,095‌
3,219,000
Kreditanstalt
fuer
Wiederaufbau
1.000
10/01/26
2,879,250‌
3,000,000
Kreditanstalt
fuer
Wiederaufbau
3.000
05/20/27
2,845,414‌
5,500,000
Kreditanstalt
fuer
Wiederaufbau
3.750
02/15/28
5,377,691‌
7,750,000
Kreditanstalt
fuer
Wiederaufbau
2.875
04/03/28
7,287,710‌
2,000,000
Kreditanstalt
fuer
Wiederaufbau
3.875
06/15/28
1,964,608‌
1,000,000
Kreditanstalt
fuer
Wiederaufbau
1.750
09/14/29
872,577‌
5,000,000
Kreditanstalt
fuer
Wiederaufbau
0.750
09/30/30
3,972,327‌
500,000
Landwirtschaftliche
Rentenbank
2.000
01/13/25
476,378‌
2,000,000
Landwirtschaftliche
Rentenbank
0.500
05/27/25
1,835,529‌
750,000
Landwirtschaftliche
Rentenbank
2.375
06/10/25
712,677‌
1,000,000
Landwirtschaftliche
Rentenbank
1.750
07/27/26
917,779‌
3,000,000
Landwirtschaftliche
Rentenbank
3.875
09/28/27
2,944,922‌
125,000
Landwirtschaftliche
Rentenbank
2.500
11/15/27
115,917‌
4,000,000
Landwirtschaftliche
Rentenbank
0.875
09/03/30
3,196,453‌
1,125,000
Mexico
Government
International
Bond
5.400
02/09/28
1,143,891‌
15,464,000
Mexico
Government
International
Bond
2.659
05/24/31
12,855,290‌
10,635,000
Mexico
Government
International
Bond
4.875
05/19/33
10,146,430‌
2,000,000
Mexico
Government
International
Bond
3.500
02/12/34
1,675,139‌
1,000,000
Mexico
Government
International
Bond
6.350
02/09/35
1,051,291‌
1,000,000
Mexico
Government
International
Bond
5.000
04/27/51
866,034‌
14,196,000
Mexico
Government
International
Bond
6.338
05/04/53
14,460,862‌
2,936,000
Mexico
Government
International
Bond
3.771
05/24/61
1,992,576‌
3,000,000
Mexico
Government
International
Bond
3.750
04/19/71
1,997,418‌
950,000
Mexico
Government
International
Bond
5.750
10/12/10
846,373‌
500,000
Nordic
Investment
Bank
2.875
07/19/23
499,577‌
2,000,000
Nordic
Investment
Bank
0.375
09/11/25
1,818,653‌
1,500,000
Nordic
Investment
Bank
0.500
01/21/26
1,349,861‌
1,000,000
Nordic
Investment
Bank
3.375
09/08/27
963,006‌
1,000,000
Panama
Government
International
Bond
3.750
03/16/25
967,396‌
300,000
Panama
Government
International
Bond
7.125
01/29/26
312,594‌
2,000,000
Panama
Government
International
Bond
3.875
03/17/28
1,893,233‌
107
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
1,450,000
Panama
Government
International
Bond
3.160
%
01/23/30
$
1,268,030‌
2,500,000
Panama
Government
International
Bond
2.252
09/29/32
1,907,917‌
2,500,000
Panama
Government
International
Bond
3.298
01/19/33
2,086,550‌
2,500,000
Panama
Government
International
Bond
6.400
02/14/35
2,604,573‌
692,000
Panama
Government
International
Bond
6.700
01/26/36
739,721‌
750,000
Panama
Government
International
Bond
4.500
05/15/47
595,188‌
2,250,000
Panama
Government
International
Bond
4.500
04/16/50
1,739,770‌
1,450,000
Panama
Government
International
Bond
4.300
04/29/53
1,076,428‌
1,000,000
Panama
Government
International
Bond
6.853
03/28/54
1,039,746‌
1,500,000
Panama
Government
International
Bond
4.500
04/01/56
1,123,835‌
3,500,000
Panama
Government
International
Bond
3.870
07/23/60
2,313,763‌
1,250,000
Panama
Government
International
Bond
4.500
01/19/63
912,339‌
5,000,000
Peruvian
Government
International
Bond
2.844
06/20/30
4,375,600‌
2,500,000
Peruvian
Government
International
Bond
2.783
01/23/31
2,137,150‌
1,500,000
Peruvian
Government
International
Bond
1.862
12/01/32
1,154,670‌
990,000
Peruvian
Government
International
Bond
3.000
01/15/34
821,700‌
1,100,000
Peruvian
Government
International
Bond
6.550
03/14/37
1,232,000‌
1,000,000
Peruvian
Government
International
Bond
3.300
03/11/41
769,660‌
1,850,000
Peruvian
Government
International
Bond
5.625
11/18/50
1,905,334‌
2,000,000
Peruvian
Government
International
Bond
3.550
03/10/51
1,495,020‌
1,500,000
Peruvian
Government
International
Bond
2.780
12/01/60
913,590‌
1,500,000
Peruvian
Government
International
Bond
3.600
01/15/72
1,018,890‌
1,000,000
Peruvian
Government
International
Bond
3.230
07/28/21
604,010‌
225,000
Philippine
Government
International
Bond
4.200
01/21/24
223,193‌
1,000,000
Philippine
Government
International
Bond
3.229
03/29/27
939,603‌
1,000,000
Philippine
Government
International
Bond
5.170
10/13/27
1,010,238‌
2,219,000
Philippine
Government
International
Bond
3.000
02/01/28
2,043,510‌
2,000,000
Philippine
Government
International
Bond
4.625
07/17/28
2,003,168‌
3,375,000
Philippine
Government
International
Bond
3.750
01/14/29
3,202,162‌
1,500,000
Philippine
Government
International
Bond
2.457
05/05/30
1,296,313‌
2,000,000
Philippine
Government
International
Bond
1.648
06/10/31
1,575,690‌
2,000,000
Philippine
Government
International
Bond
1.950
01/06/32
1,604,086‌
1,000,000
Philippine
Government
International
Bond
3.556
09/29/32
907,230‌
1,000,000
Philippine
Government
International
Bond
5.609
04/13/33
1,054,631‌
1,500,000
Philippine
Government
International
Bond
5.000
07/17/33
1,517,176‌
4,083,000
Philippine
Government
International
Bond
3.950
01/20/40
3,496,037‌
300,000
Philippine
Government
International
Bond
3.700
03/01/41
245,632‌
3,793,000
Philippine
Government
International
Bond
3.700
02/02/42
3,096,229‌
1,500,000
Philippine
Government
International
Bond
2.950
05/05/45
1,062,253‌
1,500,000
Philippine
Government
International
Bond
2.650
12/10/45
1,007,515‌
325,000
Philippine
Government
International
Bond
4.200
03/29/47
279,270‌
1,000,000
Philippine
Government
International
Bond
5.950
10/13/47
1,078,626‌
1,000,000
Philippine
Government
International
Bond
5.500
01/17/48
1,023,007‌
1,000,000
e
Poland
Government
International
Bond
4.000
01/22/24
990,604‌
2,725,000
Poland
Government
International
Bond
3.250
04/06/26
2,620,088‌
850,000
Poland
Government
International
Bond
5.750
11/16/32
890,460‌
1,050,000
Poland
Government
International
Bond
5.500
04/04/53
1,055,884‌
775,000
Province
of
Alberta
Canada
2.950
01/23/24
763,905‌
1,500,000
Province
of
Alberta
Canada
1.875
11/13/24
1,429,885‌
1,000,000
Province
of
Alberta
Canada
1.000
05/20/25
925,689‌
925,000
Province
of
Alberta
Canada
3.300
03/15/28
877,993‌
2,000,000
Province
of
Alberta
Canada
1.300
07/22/30
1,625,986‌
2,000,000
Province
of
British
Columbia
Canada
1.750
09/27/24
1,912,003‌
850,000
Province
of
British
Columbia
Canada
2.250
06/02/26
793,003‌
1,500,000
Province
of
British
Columbia
Canada
0.900
07/20/26
1,339,126‌
1,500,000
e
Province
of
British
Columbia
Canada
1.300
01/29/31
1,215,104‌
850,000
h
Province
of
British
Columbia
Canada
4.200
07/06/33
846,284‌
1,000,000
Province
of
Manitoba
Canada
2.600
04/16/24
976,817‌
1,300,000
Province
of
Manitoba
Canada
3.050
05/14/24
1,271,922‌
500,000
Province
of
Manitoba
Canada
2.125
06/22/26
463,387‌
1,500,000
Province
of
Manitoba
Canada
1.500
10/25/28
1,293,056‌
Bond
Index
Fund
June
30,
2023
108
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
500,000
Province
of
New
Brunswick
Canada
3.625
%
02/24/28
$
479,211‌
1,000,000
Province
of
Ontario
Canada
3.050
01/29/24
985,668‌
1,500,000
Province
of
Ontario
Canada
3.200
05/16/24
1,468,280‌
2,000,000
Province
of
Ontario
Canada
0.625
01/21/26
1,799,651‌
1,500,000
Province
of
Ontario
Canada
1.050
04/14/26
1,355,985‌
1,000,000
Province
of
Ontario
Canada
2.500
04/27/26
940,328‌
1,000,000
Province
of
Ontario
Canada
2.300
06/15/26
932,977‌
1,000,000
Province
of
Ontario
Canada
3.100
05/19/27
945,975‌
1,000,000
Province
of
Ontario
Canada
1.050
05/21/27
874,131‌
2,000,000
e
Province
of
Ontario
Canada
2.000
10/02/29
1,744,510‌
1,000,000
Province
of
Ontario
Canada
1.125
10/07/30
801,887‌
3,000,000
Province
of
Ontario
Canada
1.600
02/25/31
2,470,636‌
1,500,000
Province
of
Ontario
Canada
1.800
10/14/31
1,246,581‌
3,000,000
e
Province
of
Ontario
Canada
2
.125
01/21/32
2,543,696‌
200,000
Province
of
Quebec
Canada
7.125
02/09/24
201,650‌
500,000
Province
of
Quebec
Canada
2.875
10/16/24
484,079‌
2,500,000
Province
of
Quebec
Canada
1.500
02/11/25
2,356,100‌
2,000,000
Province
of
Quebec
Canada
0.600
07/23/25
1,829,980‌
3,500,000
Province
of
Quebec
Canada
2.500
04/20/26
3,295,845‌
500,000
Province
of
Quebec
Canada
2.750
04/12/27
467,084‌
3,000,000
Province
of
Quebec
Canada
3.625
04/13/28
2,892,089‌
201,000
Province
of
Quebec
Canada
7.500
09/15/29
233,875‌
1,500,000
Province
of
Quebec
Canada
1.350
05/28/30
1,235,022‌
3,000,000
Province
of
Quebec
Canada
1.900
04/21/31
2,528,837‌
1,000,000
Province
of
Saskatchewan
Canada
3.250
06/08/27
946,310‌
1,600,000
Republic
of
Italy
Government
International
Bond
6.875
09/27/23
1,603,200‌
3,000,000
Republic
of
Italy
Government
International
Bond
0.875
05/06/24
2,869,902‌
2,000,000
Republic
of
Italy
Government
International
Bond
2.375
10/17/24
1,909,240‌
1,500,000
Republic
of
Italy
Government
International
Bond
2.875
10/17/29
1,302,510‌
1,599,000
Republic
of
Italy
Government
International
Bond
5.375
06/15/33
1,593,351‌
2,000,000
Republic
of
Italy
Government
International
Bond
4.000
10/17/49
1,541,260‌
3,000,000
Republic
of
Italy
Government
International
Bond
3.875
05/06/51
2,160,510‌
1,500,000
Republic
of
Poland
Government
International
Bond
5.500
11/16/27
1,537,548‌
2,000,000
Republic
of
Poland
Government
International
Bond
4.875
10/04/33
1,962,000‌
2,000,000
State
of
Israel
2.500
01/15/30
1,745,824‌
2,050,000
State
of
Israel
3.375
01/15/50
1,535,983‌
870,000
Svensk
Exportkredit
AB
1.750
12/12/23
855,887‌
2,000,000
Svensk
Exportkredit
AB
0.375
07/30/24
1,891,959‌
500,000
Svensk
Exportkredit
AB
3.625
09/03/24
488,661‌
1,000,000
Svensk
Exportkredit
AB
0.625
05/14/25
918,588‌
3,000,000
Svensk
Exportkredit
AB
0.500
08/26/25
2,727,853‌
2,250,000
Svensk
Exportkredit
AB
4.625
11/28/25
2,232,091‌
1,500,000
Svensk
Exportkredit
AB
4.125
06/14/28
1,481,419‌
1,122,886
Uruguay
Government
International
Bond
4.375
01/23/31
1,106,162‌
4,457,660
Uruguay
Government
International
Bond
5.750
10/28/34
4,812,680‌
500,000
Uruguay
Government
International
Bond
4.125
11/20/45
452,743‌
2,063,907
Uruguay
Government
International
Bond
5.100
06/18/50
2,052,869‌
2,425,000
Uruguay
Government
International
Bond
4.975
04/20/55
2,356,644‌
TOTAL
FOREIGN
GOVERNMENT
BONDS
680,302,803‌
MORTGAGE
BACKED
-
26.9%
4,928
i
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
DGS1
+
2.250%
5.050
04/01/35
4,856‌
1,154
i
FHLMC
DGS1
+
2.125%
4.250
10/01/35
1,119‌
14,330
i
FHLMC
DGS1
+
2.255%
4.380
02/01/36
14,106‌
3,861
i
FHLMC
LIBOR
12
M
+
1.854%
5.231
07/01/36
3,822‌
19,301
i
FHLMC
LIBOR
6
M
+
1.595%
4.061
09/01/36
18,697‌
13,227
i
FHLMC
DGS1
+
2.247%
4.357
09/01/36
12,963‌
14,880
i
FHLMC
LIBOR
6
M
+
1.755%
6.066
09/01/36
15,044‌
8,165
i
FHLMC
DGS1
+
2.250%
4.361
01/01/37
8,078‌
1,308
i
FHLMC
LIBOR
12
M
+
1.765%
4.227
02/01/37
1,277‌
870
i
FHLMC
DGS1
+
2.250%
4.363
02/01/37
882‌
109
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
63,715
i
FHLMC
LIBOR
12
M
+
1.843%
4.263
%
03/01/37
$
63,986‌
9,007,134
FHLMC
1.500
04/01/37
7,770,851‌
57,883
i
FHLMC
DGS1
+
2.250%
4.419
04/01/37
58,365‌
17,447
i
FHLMC
LIBOR
12
M
+
1.612%
4.965
04/01/37
16,891‌
13,503,014
FHLMC
2.000
05/01/37
11,970,492‌
4,839
i
FHLMC
LIBOR
12
M
+
2.097%
5.154
05/01/37
4,713‌
1,264
i
FHLMC
LIBOR
12
M
+
1.750%
4.000
06/01/37
1,239‌
13,555
i
FHLMC
DGS1
+
2.248%
4.548
06/01/37
13,152‌
26,129
i
FHLMC
LIBOR
6
M
+
1.270%
5.248
08/01/37
26,103‌
5,409
i
FHLMC
LIBOR
12
M
+
0.905%
3.155
09/01/37
5,307‌
185
i
FHLMC
LIBOR
12
M
+
1.795%
4.045
09/01/37
181‌
2,142
i
FHLMC
LIBOR
6
M
+
1.520%
5.815
09/01/37
2,128‌
19,336
i
FHLMC
LIBOR
12
M
+
2.055%
5.430
04/01/38
18,905‌
5,054
i
FHLMC
LIBOR
12
M
+
2.004%
5.230
06/01/38
4,932‌
1,821
i
FHLMC
LIBOR
12
M
+
1.625%
3.875
07/01/38
1,808‌
3,070
i
FHLMC
LIBOR
12
M
+
1.861%
4.111
06/01/40
3,002‌
6,083
i
FHLMC
LIBOR
12
M
+
1.887%
4.217
01/01/41
5,943‌
2,623
i
FHLMC
LIBOR
12
M
+
1.880%
5.255
05/01/41
2,560‌
64,760
i
FHLMC
LIBOR
12
M
+
1.859%
4.358
08/01/41
63,417‌
44,822
i
FHLMC
LIBOR
12
M
+
1.750%
4.000
09/01/41
44,984‌
8,868
i
FHLMC
LIBOR
12
M
+
1.860%
4.110
10/01/41
8,810‌
12,752,963
FHLMC
3.000
11/01/49
11,387,928‌
11,845,025
FHLMC
3.000
11/01/49
10,565,345‌
24,595,061
FHLMC
3.000
02/01/50
21,959,228‌
16,960,812
FHLMC
3.500
04/01/50
15,670,664‌
8,709,430
FHLMC
3.500
07/01/50
8,011,932‌
7,342,957
h
FHLMC
2.000
02/01/51
6,022,885‌
6,388,909
h
FHLMC
4.000
08/01/52
5,998,402‌
59
Federal
Home
Loan
Mortgage
Corp
Gold
(FGLMC)
5.000
10/01/23
58‌
86
FGLMC
5.500
10/01/23
86‌
210
FGLMC
5.000
11/01/23
209‌
794
FGLMC
5.000
03/01/24
787‌
174
FGLMC
4.500
04/01/24
172‌
86
FGLMC
4.500
05/01/24
85‌
689
FGLMC
4.500
06/01/24
681‌
6,951
FGLMC
4.000
07/01/24
6,839‌
3,218
FGLMC
4.000
07/01/24
3,165‌
121
FGLMC
5.500
07/01/24
121‌
5,389
FGLMC
4.000
08/01/24
5,302‌
1,169
FGLMC
4.500
09/01/24
1,155‌
726
FGLMC
4
.500
09/01/24
718‌
367
FGLMC
4.500
09/01/24
362‌
436
FGLMC
5.500
09/01/24
435‌
10,654
FGLMC
4.000
10/01/24
10,431‌
283
FGLMC
4.500
10/01/24
279‌
1,097
FGLMC
4.500
10/01/24
1,071‌
363
FGLMC
4
.500
11/01/24
359‌
2,255
FGLMC
4.500
12/01/24
2,229‌
585
FGLMC
4.500
02/01/25
577‌
17,919
FGLMC
4.000
03/01/25
17,518‌
522
FGLMC
4.500
06/01/25
516‌
1,345
FGLMC
4.500
07/01/25
1,328‌
36,209
FGLMC
3.500
10/01/25
35,358‌
10,900
FGLMC
4.000
10/01/25
10,669‌
55,637
FGLMC
3.500
11/01/25
54,354‌
32,737
FGLMC
3.500
11/01/25
31,983‌
16,756
FGLMC
3.500
12/01/25
16,370‌
8,519
FGLMC
3.000
01/01/26
8,268‌
127,077
FGLMC
3.500
01/01/26
124,007‌
10,670
FGLMC
4.000
04/01/26
10,424‌
22,342
FGLMC
4.000
05/01/26
21,810‌
Bond
Index
Fund
June
30,
2023
110
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
5,735
FGLMC
5.500
%
07/01/26
$
5,715‌
51,349
FGLMC
4.000
08/01/26
50,173‌
648
FGLMC
6.000
08/01/26
654‌
23,524
FGLMC
3.000
09/01/26
22,737‌
77,672
FGLMC
3.000
10/01/26
74,983‌
115,043
FGLMC
3.500
10/01/26
111,678‌
1,832
FGLMC
5.000
10/01/26
1,816‌
887
FGLMC
5.500
10/01/26
884‌
434,194
FGLMC
3.000
02/01/27
418,432‌
311,264
FGLMC
2.500
05/01/27
297,043‌
357,666
FGLMC
2.500
11/01/27
340,416‌
15,457
FGLMC
6.000
12/01/27
15,609‌
285,871
FGLMC
2.500
01/01/28
271,638‌
751,935
FGLMC
2.500
03/01/28
713,191‌
23,197
FGLMC
5.000
03/01/28
23,084‌
431,290
FGLMC
2.500
05/01/28
408,829‌
2,156
FGLMC
5.500
05/01/28
2,148‌
1,301,283
FGLMC
2.500
07/01/28
1,233,608‌
1,032,835
FGLMC
2.500
07/01/28
977,974‌
277,780
FGLMC
3.000
10/01/28
265,178‌
14,964
FGLMC
5.500
01/01/29
14,911‌
104
FGLMC
6.500
01/01/29
106‌
1,558
FGLMC
4.000
02/01/29
1,522‌
641,098
FGLMC
3.500
03/01/29
614,877‌
169
FGLMC
6.500
03/01/29
175‌
1,116,886
FGLMC
3.000
07/01/29
1,065,484‌
4,580
FGLMC
5.000
12/01/29
4,583‌
3,313,323
FGLMC
2.500
05/01/30
3,082,889‌
7,986
FGLMC
4.000
08/01/30
7,803‌
65,764
FGLMC
4.500
01/01/31
64,619‌
109
FGLMC
8.000
01/01/31
109‌
58,393
FGLMC
4.000
03/01/31
57,048‌
8,166
FGLMC
4.000
05/01/31
7,978‌
55,409
FGLMC
4.500
05/01/31
54,443‌
32,016
FGLMC
4.000
06/01/31
31,278‌
63,895
FGLMC
4.000
08/01/31
62,424‌
74,198
FGLMC
4.000
09/01/31
72,488‌
1,218
FGLMC
6.500
09/01/31
1,261‌
3,199
FGLMC
8.000
09/01/31
3,262‌
36,913
FGLMC
3.500
11/01/31
35,522‌
5,626,218
FGLMC
2.500
12/01/31
5,220,208‌
30,108
FGLMC
7.000
12/01/31
30,422‌
5,929
FGLMC
6.500
01/01/32
6,161‌
14,174
FGLMC
6.000
02/01/32
14,593‌
638,147
FGLMC
3.000
03/01/32
597,790‌
5,476
FGLMC
7.000
04/01/32
5,688‌
6,187
FGLMC
6.500
05/01/32
6,340‌
433,719
FGLMC
3.500
09/01/32
414,691‌
3,022
FGLMC
5.500
11/01/32
3,096‌
5,129,315
FGLMC
3.000
01/01/33
4,833,726‌
4,618
FGLMC
6.000
02/01/33
4,696‌
16,949
FGLMC
5.000
03/01/33
17,077‌
4,396
FGLMC
6.000
03/01/33
4,440‌
5,561
FGLMC
6.000
03/01/33
5,617‌
13,360
FGLMC
5.000
04/01/33
13,344‌
2,129
FGLMC
6.000
04/01/33
2,192‌
80,648
FGLMC
5.000
06/01/33
80,104‌
42,818
FGLMC
5.500
06/01/33
43,862‌
19,989,619
FGLMC
2.500
07/01/33
18,496,340‌
907,386
FGLMC
3.500
07/01/33
859,702‌
17,120
FGLMC
4.500
07/01/33
16,885‌
111
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,436,372
FGLMC
4.000
%
08/01/33
$
1,397,586‌
1,681
FGLMC
5.000
08/01/33
1,690‌
6,255
FGLMC
6.500
08/01/33
6,405‌
53,986
FGLMC
5.000
09/01/33
54,434‌
8,924
FGLMC
5.500
09/01/33
8,921‌
15,671
FGLMC
5.500
09/01/33
15,633‌
46,759
FGLMC
5.500
09/01/33
47,025‌
23,808
FGLMC
5.500
09/01/33
23,758‌
14,966
FGLMC
4.000
10/01/33
14,408‌
3,041
FGLMC
5.000
10/01/33
3,066‌
39,525
FGLMC
5.500
10/01/33
39,713‌
2,521,300
FGLMC
3
.500
11/01/33
2,405,845‌
28,865
FGLMC
5.500
12/01/33
29,569‌
9,796
FGLMC
5.500
12/01/33
10,034‌
123,588
FGLMC
7.000
12/01/33
128,203‌
86,675
FGLMC
5.000
01/01/34
87,393‌
541,303
FGLMC
3.000
02/01/34
508,258‌
2,098
FGLMC
5.500
02/01/34
2,149‌
10,757
FGLMC
5.000
03/01/34
10,817‌
12,915
FGLMC
5.500
03/01/34
13,230‌
50,343
FGLMC
5.000
05/01/34
50,761‌
13,689
FGLMC
4.500
06/01/34
13,500‌
27,505
FGLMC
5.000
06/01/34
27,658‌
11,540
FGLMC
5.500
06/01/34
11,792‌
5,063
FGLMC
6.000
06/01/34
5,150‌
19,342
FGLMC
6.000
09/01/34
20,105‌
1,477,073
FGLMC
3.500
10/01/34
1,399,378‌
3,070
FGLMC
5.000
11/01/34
3,095‌
87,346
FGLMC
5.500
11/01/34
89,388‌
82,181
FGLMC
5.000
12/01/34
82,415‌
24,485
FGLMC
5.500
12/01/34
25,083‌
3,306
FGLMC
5.500
12/01/34
3,294‌
1,558
FGLMC
5.500
01/01/35
1,597‌
816
FGLMC
5.500
01/01/35
836‌
19,089
FGLMC
5.500
01/01/35
19,582‌
40,386
FGLMC
4.500
04/01/35
39,847‌
5,199
FGLMC
6.000
05/01/35
5,404‌
33,788
FGLMC
6.000
05/01/35
34,147‌
34,274
FGLMC
7.000
05/01/35
35,009‌
8,148
FGLMC
5.500
06/01/35
8,349‌
5,523
FGLMC
5.500
06/01/35
5,660‌
3,934
FGLMC
5.000
07/01/35
3,945‌
149,814
FGLMC
5.000
07/01/35
151,056‌
171,173
FGLMC
5.000
08/01/35
172,597‌
12,366
FGLMC
5.500
08/01/35
12,327‌
71,374
FGLMC
6.000
08/01/35
72,186‌
2,781
FGLMC
4.500
09/01/35
2,744‌
31,860
FGLMC
5.000
10/01/35
32,038‌
14,520
FGLMC
5.000
10/01/35
14,640‌
8,152
FGLMC
5.000
10/01/35
8,128‌
99,624
FGLMC
5.500
10/01/35
99,273‌
28,726
FGLMC
5.000
12/01/35
28,692‌
3,275
FGLMC
5.000
12/01/35
3,302‌
17,887
FGLMC
6.000
01/01/36
18,541‌
6,355
FGLMC
5.000
02/01/36
6,408‌
2,391
FGLMC
5.000
02/01/36
2,411‌
2,604
FGLMC
6.000
02/01/36
2,707‌
22,622
FGLMC
5.500
04/01/36
22,594‌
7,614
FGLMC
5.500
05/01/36
7,807‌
109,941
FGLMC
6.000
06/01/36
114,285‌
32,839
FGLMC
5.000
07/01/36
33,111‌
Bond
Index
Fund
June
30,
2023
112
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
31,707
FGLMC
6.000
%
07/01/36
$
32,405‌
5,150
FGLMC
6.000
08/01/36
5,338‌
5,906
FGLMC
6.000
09/01/36
5,971‌
46,621
FGLMC
5.500
10/01/36
47,899‌
93,652
FGLMC
5.500
10/01/36
95,640‌
8,433
FGLMC
6.500
10/01/36
8,674‌
4,953
FGLMC
5.500
11/01/36
5,094‌
12,067
FGLMC
6.000
11/01/36
12,544‌
47,733
FGLMC
6.000
12/01/36
49,199‌
95,065
FGLMC
5.500
03/01/37
97,769‌
39,273
FGLMC
6.000
03/01/37
40,825‌
4,816
FGLMC
6.500
03/01/37
4,946‌
34,424
FGLMC
5.500
04/01/37
35,404‌
3,574
FGLMC
5.000
05/01/37
3,570‌
4,475
FGLMC
5.000
06/01/37
4,469‌
14,233
FGLMC
5.500
06/01/37
14,637‌
3,740,912
FGLMC
3.000
07/01/37
3,453,994‌
65,440
FGLMC
6.000
07/01/37
68,001‌
36,588
FGLMC
6.000
08/01/37
38,034‌
12,845
FGLMC
6.000
09/01/37
13,327‌
93,154
FGLMC
5.500
10/01/37
92,956‌
2,970
FGLMC
6.000
11/01/37
3,086‌
26,283
FGLMC
6.500
11/01/37
27,380‌
12,573
FGLMC
6.000
01/01/38
13,069‌
5,341
FGLMC
6.000
02/01/38
5,530‌
40,187
FGLMC
6.000
02/01/38
41,759‌
60,167
FGLMC
5.000
03/01/38
60,667‌
177,763
FGLMC
5.000
03/01/38
179,239‌
7,651
FGLMC
5.000
04/01/38
7,727‌
75,278
FGLMC
5.000
04/01/38
75,905‌
85,166
FGLMC
5.500
04/01/38
85,764‌
18,477
FGLMC
5.500
05/01/38
18,965‌
2,218
FGLMC
5.500
06/01/38
2,277‌
3,719
FGLMC
6.000
07/01/38
3,761‌
11,279
FGLMC
5.500
08/01/38
11,571‌
69,734
FGLMC
5.500
08/01/38
71,700‌
8,860
FGLMC
5.000
09/01/38
8,934‌
118,911
FGLMC
5.500
09/01/38
122,027‌
50,406
FGLMC
5.500
09/01/38
51,516‌
2,419
FGLMC
5.500
10/01/38
2,482‌
44,899
FGLMC
6.000
11/01/38
46,395‌
332,825
FGLMC
5.500
01/01/39
342,023‌
212,571
FGLMC
4.500
02/01/39
210,160‌
121,763
FGLMC
5
.000
02/01/39
122,775‌
9,292
FGLMC
5.500
02/01/39
9,530‌
401
FGLMC
4.500
03/01/39
394‌
54,427
FGLMC
5.000
03/01/39
54,880‌
6,622
FGLMC
6.000
03/01/39
6,846‌
9,148
FGLMC
4.500
04/01/39
9,045‌
336,642
FGLMC
4.500
04/01/39
331,954‌
75,543
FGLMC
4.000
05/01/39
72,716‌
1,947
FGLMC
4.500
05/01/39
1,924‌
50,290
FGLMC
4.500
05/01/39
49,719‌
1,131,295
FGLMC
4.500
05/01/39
1,118,464‌
81,126
FGLMC
4.500
05/01/39
79,574‌
47,048
FGLMC
5.000
05/01/39
47,438‌
96,870
FGLMC
4.000
06/01/39
93,245‌
530,237
FGLMC
4.500
06/01/39
524,223‌
16,676
FGLMC
4.500
06/01/39
16,487‌
7,847
FGLMC
5.000
06/01/39
7,891‌
2,855
FGLMC
5.500
06/01/39
2,928‌
113
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
158,814
FGLMC
4.000
%
07/01/39
$
152,870‌
63,466
FGLMC
4.500
07/01/39
62,746‌
12,512
FGLMC
4.500
07/01/39
12,371‌
4,899
FGLMC
4.500
07/01/39
4,830‌
42,452
FGLMC
5.000
07/01/39
42,806‌
75,338
FGLMC
5.500
07/01/39
75,862‌
5,474
FGLMC
4.500
08/01/39
5,412‌
12,791
FGLMC
5.000
08/01/39
12,898‌
124,363
FGLMC
4.000
09/01/39
119,710‌
334,863
FGLMC
5.000
09/01/39
337,646‌
115,528
FGLMC
5.000
09/01/39
116,491‌
1,310
FGLMC
5.500
09/01/39
1,313‌
134,171
FGLMC
6.500
09/01/39
138,722‌
36,515
FGLMC
4.500
10/01/39
36,101‌
22,036
FGLMC
4.500
10/01/39
21,786‌
40,981
FGLMC
4.500
10/01/39
40,517‌
26,669
FGLMC
5.000
10/01/39
26,890‌
8,619
FGLMC
4.000
11/01/39
8,296‌
28,475
FGLMC
4.500
11/01/39
28,152‌
11,146
FGLMC
5.000
11/01/39
11,239‌
47,995
FGLMC
4.500
12/01/39
47,451‌
21,495
FGLMC
4.500
12/01/39
21,251‌
65,541
FGLMC
4.500
12/01/39
64,551‌
31,872
FGLMC
4.500
12/01/39
31,428‌
48,395
FGLMC
5.500
12/01/39
49,683‌
60,399
FGLMC
4.500
01/01/40
59,714‌
6,058
FGLMC
5.000
01/01/40
6,109‌
7,657
FGLMC
5.500
01/01/40
7,855‌
22,538
FGLMC
5.500
03/01/40
23,138‌
222,765
FGLMC
4.000
04/01/40
214,433‌
13,100
FGLMC
4.500
04/01/40
12,952‌
38,197
FGLMC
4.500
04/01/40
37,763‌
31,288
FGLMC
5.000
04/01/40
31,549‌
68,746
FGLMC
5.000
04/01/40
69,125‌
258,687
FGLMC
6.000
04/01/40
268,389‌
730,264
FGLMC
4.500
05/01/40
721,984‌
271,392
FGLMC
5.000
05/01/40
272,915‌
2,079
FGLMC
4.500
06/01/40
2,056‌
245,795
FGLMC
5.500
06/01/40
252,124‌
331,849
FGLMC
4.500
07/01/40
328,086‌
6,380
FGLMC
4.500
08/01/40
6,308‌
59,973
FGLMC
5.000
08/01/40
60,473‌
164,769
FGLMC
5.000
08/01/40
166,142‌
17,079
FGLMC
5.000
08/01/40
17,221‌
1,052,620
FGLMC
5.500
08/01/40
1,080,422‌
88,714
FGLMC
4.000
09/01/40
85,394‌
1,179,386
FGLMC
4.000
11/01/40
1,135,260‌
768,975
FGLMC
4.000
12/01/40
740,201‌
107,071
FGLMC
3.500
01/01/41
100,362‌
178,367
FGLMC
3.500
01/01/41
167,248‌
103,707
FGLMC
4.000
01/01/41
99,826‌
114,348
FGLMC
3.500
02/01/41
107,182‌
381,712
FGLMC
4.000
02/01/41
367,427‌
125,753
FGLMC
4.000
02/01/41
121,048‌
705,534
FGLMC
4.000
04/01/41
679,134‌
124,541
FGLMC
4.500
04/01/41
123,128‌
27,545
FGLMC
5.000
04/01/41
27,700‌
110,421
FGLMC
4.500
05/01/41
109,168‌
134,273
FGLMC
4.500
06/01/41
132,750‌
301,617
FGLMC
3.500
10/01/41
282,750‌
304,191
FGLMC
5.000
10/01/41
306,722‌
Bond
Index
Fund
June
30,
2023
114
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
440,765
FGLMC
3.500
%
11/01/41
$
413,137‌
174,077
FGLMC
4.500
12/01/41
172,104‌
1,494,529
FGLMC
3.500
01/01/42
1,400,894‌
435,569
FGLMC
3.500
02/01/42
408,280‌
494,415
FGLMC
3.500
04/01/42
463,439‌
1,214,889
FGLMC
4.000
05/01/42
1,169,418‌
4,012,326
FGLMC
4.500
05/01/42
3,966,871‌
823,919
FGLMC
3.500
07/01/42
772,303‌
183,542
FGLMC
3.000
08/01/42
165,886‌
1,351,116
FGLMC
3.000
10/01/42
1,221,121‌
947,749
FGLMC
3.000
10/01/42
856,572‌
398,726
FGLMC
3.500
12/01/42
373,171‌
1,451,322
FGLMC
2.500
01/01/43
1,254,451‌
2,730,622
FGLMC
3.000
01/01/43
2,467,904‌
4,040,715
FGLMC
3.000
04/01/43
3,651,891‌
10,797,104
FGLMC
3.000
04/01/43
9,758,145‌
1,190,375
FGLMC
3.500
05/01/43
1,112,357‌
1,664,466
FGLMC
3.000
08/01/43
1,504,290‌
1,203,661
FGLMC
3.000
08/01/43
1,087,824‌
1,191,074
FGLMC
3.500
08/01/43
1,113,013‌
446,009
FGLMC
4.500
10/01/43
438,197‌
574,024
FGLMC
4.000
11/01/43
551,815‌
1,078,212
FGLMC
3.500
02/01/44
1,006,520‌
876,861
FGLMC
4.000
02/01/44
842,123‌
6,885,197
FGLMC
4.000
02/01/44
6,612,434‌
388,112
FGLMC
4.000
04/01/44
372,496‌
483,471
FGLMC
4.500
05/01/44
474,993‌
882,296
FGLMC
4.000
06/01/44
836,971‌
1,366,404
FGLMC
4.000
08/01/44
1,294,796‌
1,011,687
FGLMC
3.500
09/01/44
943,366‌
1,432,118
FGLMC
3.500
11/01/44
1,334,919‌
1,876,118
FGLMC
3.500
12/01/44
1,747,613‌
1,147,236
FGLMC
3.500
01/01/45
1,074,448‌
2,408,059
FGLMC
3.000
02/01/45
2,176,237‌
2,973,919
FGLMC
3.500
03/01/45
2,771,153‌
1,744,808
FGLMC
4.000
03/01/45
1,670,273‌
1,165,675
FGLMC
3.000
04/01/45
1,053,453‌
2,391,649
FGLMC
3.500
04/01/45
2,227,329‌
6,358,796
FGLMC
3.500
07/01/45
5,923,922‌
4,485,666
FGLMC
4.500
07/01/45
4,409,094‌
13,644,139
FGLMC
3.000
08/01/45
12,332,057‌
10,356,547
FGLMC
3.500
10/01/45
9,648,256‌
1,890,308
FGLMC
4.000
11/01/45
1,809,479‌
3,560,085
FGLMC
3.500
12/01/45
3,314,730‌
8,467,147
FGLMC
3.000
03/01/46
7,620,441‌
2,646,013
FGLMC
3.500
03/01/46
2,456,057‌
1,392,293
FGLMC
4.000
03/01/46
1,330,796‌
6,184,724
FGLMC
3.000
04/01/46
5,543,847‌
6,065,140
FGLMC
3.500
05/01/46
5,695,182‌
4,615,589
FGLMC
3.500
08/01/46
4,305,287‌
9,323,678
FGLMC
3.000
09/01/46
8,386,848‌
3,797,246
FGLMC
4.000
09/01/46
3,627,557‌
3,344,636
FGLMC
3.000
11/01/46
2,989,094‌
4,135,983
FGLMC
3.000
11/01/46
3,705,720‌
11,889,022
FGLMC
3.000
11/01/46
10,611,829‌
2,397,445
FGLMC
3.000
12/01/46
2,147,658‌
3,055,411
FGLMC
3.500
12/01/46
2,832,124‌
5,574,672
FGLMC
3.000
02/01/47
4,993,274‌
1,815,843
FGLMC
3.500
02/01/47
1,682,081‌
1,503,664
FGLMC
4.000
02/01/47
1,435,547‌
2,513,879
FGLMC
3.500
05/01/47
2,322,714‌
115
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
2,017,229
FGLMC
3.000
%
08/01/47
$
1,813,159‌
2,625,762
FGLMC
3.000
11/01/47
2,348,485‌
4,052,655
FGLMC
3.000
12/01/47
3,624,690‌
12,563,456
FGLMC
3.000
01/01/48
11,251,135‌
4,362,400
FGLMC
3.000
02/01/48
3,899,672‌
3,242,806
FGLMC
3.500
03/01/48
3,000,771‌
2,765,859
FGLMC
3.500
05/01/48
2,555,493‌
2,143,521
FGLMC
4.000
05/01/48
2,051,294‌
2,954,544
FGLMC
3.500
07/01/48
2,729,820‌
3,127,619
FGLMC
4.000
07/01/48
2,985,302‌
5,737,255
FGLMC
4.000
08/01/48
5,476,180‌
1,058,063
FGLMC
4.500
09/01/48
1,035,422‌
4,502,455
FGLMC
4.000
10/01/48
4,291,488‌
2,758,709
FGLMC
4.500
12/01/48
2,699,016‌
1,435,460
FGLMC
4.500
02/01/49
1,406,688‌
3,719,624
FGLMC
3.500
05/01/49
3,436,566‌
121
Federal
National
Mortgage
Association
(FNMA)
5.000
07/01/23
120‌
20
FNMA
5.500
08/01/23
20‌
166
FNMA
5.000
11/01/23
164‌
4
FNMA
5.500
01/01/24
4‌
404
FNMA
5.500
02/01/24
402‌
1,979
FNMA
4.000
03/01/24
1,946‌
229
FNMA
4.500
04/01/24
226‌
12,489
FNMA
4.000
05/01/24
12,273‌
3,089
FNMA
4.000
05/01/24
3,032‌
332
FNMA
4.000
06/01/24
326‌
368
FNMA
4.500
07/01/24
364‌
483
FNMA
5.500
07/01/24
480‌
11
FNMA
8.000
07/01/24
11‌
2,534
FNMA
4.500
08/01/24
2,501‌
2,336
FNMA
4
.000
09/01/24
2,295‌
11,384
FNMA
4.000
09/01/24
11,131‌
1,036
FNMA
4.500
09/01/24
1,022‌
28,284
FNMA
4.500
10/01/24
27,925‌
1,928
FNMA
5.000
01/01/25
1,910‌
2,293
FNMA
4.500
02/01/25
2,262‌
15,972
FNMA
4.500
03/01/25
15,739‌
219
FNMA
4.500
03/01/25
216‌
10,098
FNMA
5.000
03/01/25
9,999‌
13,906
FNMA
4.500
04/01/25
13,711‌
6,410
FNMA
4.500
04/01/25
6,327‌
68,196
FNMA
4.000
05/01/25
66,582‌
33,120
FNMA
4.000
06/01/25
32,362‌
13,052
FNMA
4.500
06/01/25
12,881‌
8,564
FNMA
4.000
08/01/25
8,360‌
4,672
FNMA
5.500
08/01/25
4,701‌
26,554
FNMA
3.500
09/01/25
25,927‌
31,298
FNMA
4
.000
09/01/25
30,595‌
73,131
FNMA
3.500
10/01/25
71,404‌
66,059
FNMA
3.500
10/01/25
64,498‌
27,830
FNMA
5.000
10/01/25
27,554‌
47,089
FNMA
4.000
11/01/25
45,956‌
63,036
FNMA
3.500
12/01/25
61,511‌
52,652
FNMA
3.500
02/01/26
51,320‌
291,291
FNMA
3.500
02/01/26
284,079‌
16,468
FNMA
4.000
03/01/26
16,069‌
49,052
FNMA
4.000
06/01/26
47,807‌
46,831
FNMA
3.500
08/01/26
45,597‌
38,221
FNMA
3.500
09/01/26
37,124‌
19,320
FNMA
4.000
09/01/26
18,853‌
71,596
FNMA
3.500
10/01/26
69,542‌
Bond
Index
Fund
June
30,
2023
116
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,437
FNMA
6.000
%
10/01/26
$
1,449‌
92,272
FNMA
3.000
11/01/26
88,973‌
83,568
FNMA
3.000
12/01/26
80,533‌
229,342
FNMA
3.000
01/01/27
220,882‌
156,266
FNMA
4.000
01/01/27
152,715‌
179,842
FNMA
3.500
02/01/27
174,377‌
315,712
FNMA
3.000
04/01/27
303,477‌
186,953
FNMA
3.000
04/01/27
179,759‌
113,569
FNMA
3.500
05/01/27
110,033‌
137,331
FNMA
2.500
06/01/27
130,946‌
411,857
FNMA
3.000
06/01/27
394,811‌
145,755
FNMA
2.500
07/01/27
138,979‌
343,783
FNMA
2.500
09/01/27
327,194‌
4,510
FNMA
5.500
09/01/27
4,489‌
536,292
FNMA
2.500
10/01/27
510,408‌
359,276
FNMA
3.000
11/01/27
344,514‌
723
FNMA
5.500
01/01/28
719‌
1,421,158
FNMA
2.500
02/01/28
1,348,597‌
1,148,314
FNMA
2.500
02/01/28
1,090,389‌
598
FNMA
5.000
02/01/28
593‌
878,793
FNMA
2.500
04/01/28
832,488‌
1,250,964
FNMA
2.500
04/01/28
1,184,025‌
3,686
FNMA
5.500
06/01/28
3,669‌
353,053
FNMA
2.500
07/01/28
333,896‌
750,666
FNMA
2.500
08/01/28
709,460‌
841,035
FNMA
3.000
10/01/28
801,831‌
560
FNMA
5.500
11/01/28
557‌
3
FNMA
7.500
01/01/29
3‌
1,261,914
FNMA
3.000
03/01/29
1,202,311‌
4,737
FNMA
4.000
03/01/29
4,623‌
4,553,285
FNMA
3.000
04/01/29
4,338,506‌
18,007
FNMA
4.500
04/01/29
17,674‌
12,400
FNMA
4.000
05/01/29
12,102‌
7,008
FNMA
4.500
06/01/29
6,878‌
2,475
FNMA
4.000
07/01/29
2,416‌
47,423
FNMA
4.500
08/01/29
46,546‌
5,625,456
FNMA
3.500
09/01/29
5,370,938‌
9,306
FNMA
4.500
09/01/29
9,134‌
7,386
FNMA
4.500
11/01/29
7,301‌
2,777
FNMA
4.500
01/01/30
2,726‌
693,632
FNMA
2.500
02/01/30
644,583‌
6,045
FNMA
4.000
03/01/30
5,900‌
2,662
FNMA
4.500
05/01/30
2,613‌
3,930
FNMA
4.500
06/01/30
3,857‌
1,685,950
FNMA
3.000
07/01/30
1,603,049‌
35,711
FNMA
4.500
08/01/30
35,049‌
7,946
FNMA
4.000
09/01/30
7,754‌
49,304
FNMA
4.000
10/01/30
48,115‌
451,909
FNMA
4.000
11/01/30
441,002‌
82,245
FNMA
4.000
11/01/30
80,260‌
18,470
FNMA
4.500
12/01/30
18,128‌
1,612,644
FNMA
3.000
02/01/31
1,536,228‌
25,582
FNMA
3.500
02/01/31
24,592‌
27,962
FNMA
4.000
02/01/31
27,287‌
319
FNMA
7.500
03/01/31
330‌
1,821,190
FNMA
2.500
04/01/31
1,687,773‌
76,680
FNMA
3.500
04/01/31
73,709‌
9,134
FNMA
4.000
04/01/31
8,914‌
1,847,783
FNMA
3.000
05/01/31
1,739,236‌
842
FNMA
6.000
05/01/31
861‌
2,112,162
FNMA
2.500
06/01/31
1,957,423‌
117
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
443,966
FNMA
4.500
%
07/01/31
$
438,862‌
48,393
FNMA
4.500
07/01/31
47,494‌
281,902
FNMA
4.000
08/01/31
275,089‌
2,780,630
FNMA
2.500
09/01/31
2,576,634‌
1,428,493
FNMA
3.000
09/01/31
1,344,510‌
17,306
FNMA
4.000
09/01/31
16,888‌
239
FNMA
6.500
09/01/31
245‌
10,281
FNMA
6.000
11/01/31
10,573‌
1,441
FNMA
6.500
11/01/31
1,480‌
2,990,978
FNMA
2.500
12/01/31
2,771,624‌
504,828
FNMA
3.500
01/01/32
485,239‌
3,349
FNMA
6.000
01/01/32
3,444‌
206,497
FNMA
3.500
02/01/32
198,487‌
2,434
FNMA
6.000
02/01/32
2,498‌
1,881,742
FNMA
3.000
03/01/32
1,771,259‌
10,405
FNMA
6.500
04/01/32
10,767‌
6,582,413
FNMA
3.000
06/01/32
6,195,890‌
20,220
FNMA
6.500
07/01/32
21,011‌
4,324
FNMA
6.500
08/01/32
4,475‌
237,896
FNMA
3.000
09/01/32
222,487‌
4,118
FNMA
7.500
09/01/32
4,107‌
712,590
FNMA
3.000
10/01/32
666,431‌
22,760
FNMA
5.500
10/01/32
23,097‌
5,663
FNMA
6
.000
11/01/32
5,844‌
4,322,980
FNMA
3.000
12/01/32
4,068,922‌
5,745
FNMA
5.500
12/01/32
5,830‌
288
FNMA
5.500
12/01/32
287‌
8,523
FNMA
6.000
12/01/32
8,675‌
46,807
FNMA
5.500
01/01/33
47,697‌
128,625
FNMA
6.000
01/01/33
132,809‌
46,135
FNMA
5.000
02/01/33
46,416‌
1,186
FNMA
5.000
02/01/33
1,169‌
525,996
FNMA
3.000
04/01/33
491,905‌
606,232
FNMA
3.500
04/01/33
573,714‌
2,455
FNMA
6.000
04/01/33
2,525‌
2,950,510
FNMA
3.500
05/01/33
2,827,010‌
310,622
FNMA
5.500
05/01/33
317,433‌
17,926
FNMA
5.000
06/01/33
18,044‌
34,925
FNMA
5.500
06/01/33
35,735‌
5,267
FNMA
4.500
07/01/33
5,130‌
24,789
FNMA
5.000
07/01/33
24,966‌
32,965
FNMA
4.500
08/01/33
32,130‌
3,262
FNMA
4.500
08/01/33
3,177‌
7,677
FNMA
5.000
08/01/33
7,731‌
20,265
FNMA
5.500
09/01/33
20,188‌
55,102
FNMA
5.500
09/01/33
54,877‌
5,568
FNMA
6.000
09/01/33
5,643‌
48,239
FNMA
4.500
10/01/33
47,549‌
9,927
FNMA
5.000
10/01/33
9,997‌
4,683
FNMA
5.000
10/01/33
4,647‌
85,935
FNMA
5.500
10/01/33
85,771‌
148,475
FNMA
5.500
10/01/33
149,144‌
2,523
FNMA
4.500
11/01/33
2,485‌
9,710
FNMA
5.000
11/01/33
9,779‌
684,219
FNMA
5.000
11/01/33
689,095‌
75,334
FNMA
5.000
12/01/33
75,869‌
101,183
FNMA
5.500
12/01/33
102,562‌
950,138
FNMA
3.000
01/01/34
888,534‌
30,689
FNMA
5.000
02/01/34
30,640‌
134,074
FNMA
6.000
02/01/34
137,284‌
7,649
FNMA
5.000
03/01/34
7,704‌
Bond
Index
Fund
June
30,
2023
118
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
181,220
FNMA
5.000
%
03/01/34
$
182,509‌
3,905
FNMA
5.000
03/01/34
3,933‌
2,656
FNMA
5.000
03/01/34
2,675‌
3,076
FNMA
5.000
03/01/34
3,098‌
9,003
FNMA
5.000
03/01/34
9,067‌
23,992
FNMA
5.000
04/01/34
24,163‌
28,003
FNMA
5.500
04/01/34
28,650‌
11,540
FNMA
4.500
05/01/34
11,337‌
2,788
FNMA
4.500
05/01/34
2,715‌
9,770
FNMA
5.500
07/01/34
9,997‌
6,432
FNMA
5.500
07/01/34
6,582‌
9,399
FNMA
7.000
07/01/34
9,630‌
73,159
FNMA
5.000
08/01/34
73,680‌
7,948
FNMA
5.000
08/01/34
8,005‌
43,666
FNMA
6.000
08/01/34
45,192‌
7,722
FNMA
6.000
08/01/34
7,980‌
8,012,992
FNMA
3.500
09/01/34
7,628,204‌
155,593
FNMA
5.500
09/01/34
159,207‌
5,838,213
FNMA
2.500
11/01/34
5,358,402‌
1,372
FNMA
5.500
11/01/34
1,405‌
8,053
FNMA
6.000
11/01/34
8,125‌
8,581,462
FNMA
2.500
12/01/34
7,852,502‌
12,275,581
FNMA
3.000
12/01/34
11,495,712‌
2,339
FNMA
5.000
12/01/34
2,356‌
1,407
FNMA
5.500
12/01/34
1,440‌
6,321
FNMA
6.000
12/01/34
6,392‌
218,357
FNMA
4.500
01/01/35
215,238‌
19,478
FNMA
5.500
01/01/35
19,518‌
6,593,290
FNMA
3.500
02/01/35
6,277,312‌
20,289
FNMA
5.500
02/01/35
20,768‌
457,130
FNMA
5.500
02/01/35
467,727‌
5,486,247
FNMA
2.500
03/01/35
5,008,385‌
66,835
FNMA
5.500
04/01/35
66,521‌
19,012
FNMA
6.000
04/01/35
19,504‌
19,585
FNMA
6.000
04/01/35
20,335‌
6,970,768
FNMA
2.500
05/01/35
6,380,542‌
6,146,072
FNMA
3.000
05/01/35
5,752,208‌
25,012
FNMA
6.000
05/01/35
25,619‌
7,528
FNMA
5.000
06/01/35
7,581‌
1,037
i
FNMA
LIBOR
12
M
+
1.570%
3.820
07/01/35
1,014‌
23,041
FNMA
5.000
07/01/35
23,205‌
1,991,275
FNMA
3.000
08/01/35
1,854,039‌
47,192
FNMA
4.500
08/01/35
46,495‌
53,943
FNMA
5.000
08/01/35
54,327‌
36,060
FNMA
5.000
08/01/35
36,317‌
1,649
FNMA
4.500
09/01/35
1,620‌
2,087
FNMA
4.500
09/01/35
2,057‌
5,780
FNMA
5.500
09/01/35
5,914‌
7,108,224
FNMA
2.500
10/01/35
6,488,385‌
18,674
FNMA
5.000
10/01/35
18,529‌
63,830
FNMA
5.500
10/01/35
64,429‌
16,240,971
FNMA
1.500
11/01/35
14,012,360‌
15,011,414
FNMA
2.000
11/01/35
13,385,228‌
7,572,095
FNMA
2.500
11/01/35
6,911,716‌
42,177
FNMA
5.500
11/01/35
43,257‌
6,068,959
FNMA
2.000
12/01/35
5,411,478‌
21,427,452
FNMA
1.500
01/01/36
18,493,586‌
2,526,745
FNMA
3.500
01/01/36
2,390,972‌
11,371
i
FNMA
LIBOR
12
M
+
1.535%
3.985
02/01/36
11,065‌
159,387
FNMA
5.000
02/01/36
160,526‌
14,684,048
FNMA
1.500
03/01/36
12,673,289‌
119
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
71,642,513
FNMA
2.000
%
03/01/36
$
63,526,762‌
67,959
FNMA
6.000
03/01/36
70,565‌
7,610,070
FNMA
1.500
04/01/36
6,567,950‌
8,062,118
FNMA
1.000
05/01/36
6,732,610‌
23,218,891
FNMA
1.500
05/01/36
20,039,015‌
15,053,968
FNMA
2.000
05/01/36
13,345,421‌
814,842
FNMA
3.500
05/01/36
771,045‌
965
FNMA
5.000
05/01/36
972‌
113,676
FNMA
6.000
06/01/36
117,902‌
15,475,357
FNMA
2.000
07/01/36
13,721,910‌
15,064
i
FNMA
LIBOR
12
M
+
1.595%
3.845
07/01/36
14,741‌
5,914
FNMA
6.000
07/01/36
5,994‌
27,282
FNMA
6.500
07/01/36
28,085‌
6,337,690
FNMA
3.000
08/01/36
5,865,688‌
47,787
FNMA
5.500
08/01/36
47,575‌
70,700
FNMA
6.500
08/01/36
72,560‌
12,440,519
FNMA
1.500
09/01/36
10,736,488‌
16,038,757
FNMA
2.000
09/01/36
14,218,442‌
15,029,132
FNMA
2.500
09/01/36
13,708,685‌
1,033,992
FNMA
3.000
09/01/36
956,630‌
5,922
FNMA
5.500
09/01/36
6,060‌
1,906
FNMA
6.500
09/01/36
2,011‌
7,828
FNMA
6.500
09/01/36
8,125‌
9,603
FNMA
6.000
10/01/36
9,971‌
25,651,672
FNMA
1.500
11/01/36
22,137,842‌
16,619,258
FNMA
2.000
11/01/36
14,733,059‌
2,279,962
FNMA
3.000
11/01/36
2,107,956‌
4,690
FNMA
6.500
11/01/36
4,925‌
29,904
FNMA
6.000
12/01/36
31,051‌
10,870,681
FNMA
1.500
01/01/37
9,381,438‌
10,633,127
FNMA
2.000
01/01/37
9,426,323‌
5,253
i
FNMA
LIBOR
12
M
+
1.729%
4.074
01/01/37
5,157‌
11,618
FNMA
5.500
01/01/37
11,935‌
4,409,546
FNMA
1.500
02/01/37
3,804,309‌
87,772
FNMA
5.500
02/01/37
88,742‌
559
i
FNMA
LIBOR
6
M
+
1.460%
5.738
02/01/37
566‌
5,367
FNMA
6.000
02/01/37
5,570‌
10,617
FNMA
7.000
02/01/37
10,968‌
34,906,858
FNMA
2.000
03/01/37
30,945,112‌
1,770
i
FNMA
LIBOR
12
M
+
1.875%
4.375
03/01/37
1,731‌
855
FNMA
5.000
03/01/37
857‌
29,172
FNMA
6.500
03/01/37
30,610‌
40,762
FNMA
6.500
03/01/37
42,728‌
23,137,882
FNMA
2.000
04/01/37
20,511,853‌
8,839,561
FNMA
2.500
04/01/37
8,046,640‌
18,365
FNMA
7.000
04/01/37
19,090‌
33,372
FNMA
5.000
05/01/37
33,519‌
5,431
i
FNMA
LIBOR
12
M
+
1.782%
4.081
06/01/37
5,340‌
6,318
FNMA
5.500
06/01/37
6,490‌
4,531,884
FNMA
3.000
08/01/37
4,228,706‌
8,503
FNMA
5.500
08/01/37
8,710‌
2,927
FNMA
6.000
08/01/37
2,996‌
13,345
FNMA
5.500
09/01/37
13,282‌
25,683
FNMA
6.000
09/01/37
26,380‌
20,157
FNMA
6.000
09/01/37
20,832‌
16,906
FNMA
6.000
09/01/37
17,249‌
47,416
FNMA
6.000
09/01/37
48,380‌
68,736
FNMA
6.000
09/01/37
70,837‌
5,853
FNMA
6.500
09/01/37
5,982‌
3,832
FNMA
6.500
09/01/37
3,919‌
5,577
i
FNMA
DGS1
+
2.275%
4.400
10/01/37
5,508‌
Bond
Index
Fund
June
30,
2023
120
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
5,005
FNMA
6.500
%
10/01/37
$
5,200‌
6,446,977
FNMA
3.000
11/01/37
6,015,681‌
6,282,193
FNMA
3.500
11/01/37
5,944,503‌
4,743,847
FNMA
4.000
11/01/37
4,578,622‌
57,262
FNMA
5.500
11/01/37
58,765‌
107,036
FNMA
6.000
11/01/37
110,880‌
2,463
FNMA
7.000
11/01/37
2,432‌
2,059,166
FNMA
3.000
12/01/37
1,896,598‌
2,076,055
FNMA
4.000
01/01/38
2,000,060‌
461
FNMA
6.500
01/01/38
471‌
3,722,237
FNMA
4.500
02/01/38
3,650,854‌
2,741,461
FNMA
5.000
02/01/38
2,723,666‌
28,900
FNMA
5.500
02/01/38
29,569‌
15,029
FNMA
6.500
02/01/38
15,346‌
8,562
FNMA
7.000
02/01/38
9,159‌
7,062
i
FNMA
LIBOR
12
M
+
1.770%
4.520
03/01/38
6,910‌
3,002
FNMA
5.000
03/01/38
3,023‌
1,385
FNMA
5.000
03/01/38
1,395‌
6,465
FNMA
5.500
03/01/38
6,636‌
2,477
FNMA
6.000
03/01/38
2,587‌
4,610
FNMA
6.500
03/01/38
4,770‌
7,855
FNMA
6.500
03/01/38
8,021‌
4,604
FNMA
6.500
03/01/38
4,701‌
64,873
FNMA
5.500
04/01/38
66,426‌
107,013
FNMA
6.000
04/01/38
110,551‌
11,395
FNMA
4.500
05/01/38
11,154‌
337,303
FNMA
5.000
05/01/38
339,713‌
75,924
FNMA
5.000
05/01/38
76,466‌
237,850
FNMA
6.000
06/01/38
246,709‌
431,797
FNMA
6.500
06/01/38
449,235‌
83,116
FNMA
6.000
07/01/38
86,203‌
848
i
FNMA
LIBOR
12
M
+
1.603%
3.853
08/01/38
842‌
256,702
FNMA
6.000
09/01/38
265,713‌
9,476
i
FNMA
LIBOR
12
M
+
1.321%
3.571
10/01/38
9,285‌
583
FNMA
6.000
10/01/38
588‌
3,453
FNMA
5.500
11/01/38
3,481‌
1,413
FNMA
5.000
12/01/38
1,419‌
234,736
FNMA
5.500
12/01/38
240,990‌
18,311
FNMA
4.500
01/01/39
17,963‌
19,198
FNMA
5.000
01/01/39
19,051‌
929,393
FNMA
5.000
01/01/39
931,917‌
32,899
FNMA
5.500
01/01/39
33,181‌
135,052
FNMA
5.500
01/01/39
138,681‌
11,421
FNMA
6.000
01/01/39
11,703‌
1,246
FNMA
6.000
01/01/39
1,258‌
45,107
FNMA
4.500
02/01/39
44,544‌
148,623
FNMA
4.500
02/01/39
146,770‌
65,164
FNMA
4.500
02/01/39
64,351‌
3,265
FNMA
5.500
02/01/39
3,343‌
141,255
FNMA
4.000
04/01/39
135,831‌
7,570
FNMA
5.500
04/01/39
7,684‌
260,453
FNMA
4.500
05/01/39
257,202‌
42,879
FNMA
4
.500
05/01/39
42,233‌
136,286
FNMA
4.500
06/01/39
134,587‌
49,539
FNMA
4.500
06/01/39
48,921‌
109,122
FNMA
5.500
06/01/39
112,099‌
2,758
i
FNMA
LIBOR
12
M
+
1.835%
4.085
07/01/39
2,742‌
35,285
FNMA
4
.500
07/01/39
34,844‌
28,782
FNMA
4.500
07/01/39
28,349‌
2,606
FNMA
5.000
07/01/39
2,625‌
5,662
i
FNMA
LIBOR
12
M
+
1.650%
3.900
08/01/39
5,555‌
121
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
4,376
i
FNMA
LIBOR
12
M
+
1.690%
3.940
%
08/01/39
$
4,345‌
481,557
FNMA
4.000
08/01/39
463,031‌
86,131
FNMA
4.000
08/01/39
82,818‌
7,575
FNMA
4.500
08/01/39
7,480‌
94,364
FNMA
4.500
08/01/39
92,942‌
336,202
FNMA
4.500
08/01/39
331,132‌
2,852
FNMA
5.000
08/01/39
2,877‌
351,689
FNMA
5.000
08/01/39
354,203‌
194,966
FNMA
4.000
09/01/39
187,461‌
19,931
FNMA
5.000
09/01/39
20,073‌
86,949
FNMA
5.500
09/01/39
88,986‌
53,446
FNMA
6.000
09/01/39
55,366‌
181,501
FNMA
6.500
10/01/39
190,135‌
8,621
FNMA
5.000
11/01/39
8,659‌
205,326
FNMA
4.000
12/01/39
197,424‌
22,255
FNMA
4.500
12/01/39
21,949‌
730,566
FNMA
4.500
12/01/39
721,450‌
46,056
FNMA
4.500
12/01/39
45,362‌
7,722
i
FNMA
LIBOR
12
M
+
1.815%
4.160
01/01/40
7,778‌
16,594
FNMA
4.500
01/01/40
16,387‌
17,003
FNMA
5.000
01/01/40
17,125‌
116,846
FNMA
6.000
02/01/40
120,756‌
5,543,049
FNMA
2.500
03/01/40
4,916,269‌
148,905
FNMA
4.500
03/01/40
147,048‌
70,048
FNMA
4.500
03/01/40
69,174‌
7,007
FNMA
5.000
03/01/40
7,057‌
7,165,089
FNMA
2.500
04/01/40
6,351,529‌
7,106,271
FNMA
3.000
04/01/40
6,486,152‌
7,513
FNMA
4.500
04/01/40
7,419‌
243,733
FNMA
5.000
04/01/40
245,479‌
176,438
FNMA
5.000
04/01/40
177,701‌
27,210
i
FNMA
LIBOR
12
M
+
1.840%
4.257
05/01/40
27,470‌
7,865
FNMA
4.500
05/01/40
7,701‌
12,325
i
FNMA
LIBOR
12
M
+
1.770%
5.033
05/01/40
12,030‌
13,573
i
FNMA
LIBOR
12
M
+
1.835%
5.210
05/01/40
13,226‌
6,420,544
FNMA
2.500
06/01/40
5,689,536‌
16,004
FNMA
4.500
07/01/40
15,804‌
14,173
FNMA
4
.500
07/01/40
13,996‌
21,850
FNMA
5.000
07/01/40
22,006‌
196,010
FNMA
4.500
08/01/40
193,566‌
137,756
FNMA
4.500
08/01/40
136,038‌
140,500
FNMA
5.000
08/01/40
141,125‌
300,419
FNMA
4.500
09/01/40
296,670‌
143,782
FNMA
4.500
09/01/40
141,987‌
326,340
FNMA
6.000
09/01/40
338,855‌
46,783
FNMA
3.500
10/01/40
43,823‌
207,017
FNMA
4.000
10/01/40
199,045‌
449,404
FNMA
4.000
10/01/40
432,106‌
357,301
FNMA
4.500
10/01/40
352,840‌
424,543
FNMA
3.500
11/01/40
397,628‌
434,926
FNMA
4.000
11/01/40
418,177‌
475,353
FNMA
4.000
11/01/40
457,060‌
267,018
FNMA
4.000
11/01/40
256,736‌
50,274
FNMA
4
.500
11/01/40
49,646‌
13,936,449
FNMA
2.000
12/01/40
11,945,082‌
138,596
FNMA
4.000
12/01/40
133,259‌
23,809
i
FNMA
LIBOR
12
M
+
1.823%
4.073
12/01/40
23,303‌
1,203,392
FNMA
4.500
12/01/40
1,188,378‌
13,669
FNMA
3.500
01/01/41
12,805‌
4,755,638
FNMA
1.500
02/01/41
3,870,812‌
11,500,643
FNMA
2.000
02/01/41
9,819,043‌
Bond
Index
Fund
June
30,
2023
122
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
59,353
FNMA
3.500
%
02/01/41
$
55,586‌
400,728
FNMA
4.000
02/01/41
380,109‌
17,804
i
FNMA
LIBOR
12
M
+
1.819%
4.197
02/01/41
17,916‌
395,207
FNMA
4.000
03/01/41
379,986‌
16,186,265
FNMA
2.000
04/01/41
13,821,970‌
298,464
FNMA
4.500
04/01/41
294,739‌
279,968
FNMA
4.500
05/01/41
276,475‌
81,525
FNMA
4.500
05/01/41
80,508‌
184,139
FNMA
4.500
06/01/41
181,362‌
34,517
i
FNMA
LIBOR
12
M
+
1.782%
4.478
07/01/41
35,079‌
249,440
FNMA
4.500
07/01/41
246,326‌
12,597,394
FNMA
2.000
08/01/41
10,733,715‌
22,063,215
FNMA
1.500
09/01/41
17,692,776‌
4,279,303
FNMA
2.000
09/01/41
3,619,735‌
552,001
FNMA
4.000
09/01/41
530,742‌
344,231
FNMA
4.500
09/01/41
339,039‌
145,593
FNMA
5.500
09/01/41
149,562‌
13,208,703
FNMA
1.500
10/01/41
10,704,367‌
8,584,253
FNMA
2.000
10/01/41
7,296,519‌
22,061
i
FNMA
LIBOR
12
M
+
1.815%
4.065
10/01/41
21,800‌
13,150,500
FNMA
2.000
11/01/41
11,175,070‌
234,828
FNMA
3
.500
11/01/41
219,858‌
188,754
FNMA
3.500
11/01/41
176,722‌
8,592,926
FNMA
3.500
12/01/41
8,045,129‌
1,387,493
FNMA
3.500
12/01/41
1,299,050‌
101,342
i
FNMA
LIBOR
12
M
+
1.750%
4.000
12/01/41
102,182‌
242,254
FNMA
4.000
12/01/41
232,922‌
13,216,676
FNMA
2.500
01/01/42
11,520,563‌
661,165
FNMA
3.500
03/01/42
619,030‌
435,780
FNMA
4.000
03/01/42
419,006‌
7,029,738
h
FNMA
3.000
04/01/42
6,311,735‌
1,594,950
FNMA
3.500
04/01/42
1,493,291‌
617,791
FNMA
3.500
04/01/42
578,420‌
562,752
FNMA
4.500
04/01/42
555,729‌
593,555
FNMA
5.000
04/01/42
597,803‌
4,137,237
h
FNMA
2.500
05/01/42
3,592,707‌
399,685
FNMA
4.000
05/01/42
384,302‌
379,131
FNMA
5.000
05/01/42
381,728‌
483,801
FNMA
3.000
06/01/42
436,745‌
1,864,149
FNMA
3.500
06/01/42
1,745,327‌
1,536,550
FNMA
4.000
06/01/42
1,477,346‌
1,120,248
FNMA
4.000
06/01/42
1,077,083‌
2,792,536
FNMA
3.500
07/01/42
2,614,559‌
582,210
FNMA
4.500
07/01/42
574,938‌
641,804
FNMA
3.500
08/01/42
600,900‌
1,043,509
FNMA
3.000
09/01/42
942,018‌
1,324,888
FNMA
3
.500
09/01/42
1,240,437‌
6,715,896
FNMA
4.500
09/01/42
6,632,132‌
2,417,773
FNMA
3.000
10/01/42
2,182,612‌
605,254
FNMA
3.500
10/01/42
566,500‌
1,130,806
FNMA
2.500
01/01/43
976,213‌
3,598,154
FNMA
3
.000
01/01/43
3,248,155‌
4,107,118
FNMA
3.000
02/01/43
3,707,596‌
7,883,542
FNMA
3.000
04/01/43
7,116,575‌
11,100,654
FNMA
3.000
04/01/43
10,020,701‌
958,195
FNMA
3.000
04/01/43
864,983‌
2,767,592
FNMA
3.000
04/01/43
2,498,359‌
2,655,577
FNMA
3.000
06/01/43
2,397,205‌
63,038
i
FNMA
LIBOR
12
M
+
1.695%
5.079
06/01/43
61,835‌
2,519,627
FNMA
3.000
07/01/43
2,274,482‌
6,435,059
FNMA
3.500
07/01/43
6,006,403‌
123
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,825,705
FNMA
3.500
%
07/01/43
$
1,704,087‌
23,139
i
FNMA
LIBOR
12
M
+
1.550%
3.800
07/01/43
22,842‌
2,230,586
FNMA
3.000
08/01/43
2,013,580‌
1,143,901
FNMA
4.000
08/01/43
1,099,349‌
1,937,713
FNMA
3.000
09/01/43
1,749,195‌
2,028,675
FNMA
3.500
09/01/43
1,892,952‌
1,939,228
FNMA
3.500
10/01/43
1,811,149‌
176,307
FNMA
4.500
10/01/43
172,665‌
520,794
FNMA
4.000
11/01/43
499,430‌
1,116,293
FNMA
4.000
11/01/43
1,072,233‌
1,176,746
FNMA
4.500
12/01/43
1,154,773‌
332,726
FNMA
4.500
12/01/43
326,682‌
1,298,869
FNMA
4.000
01/01/44
1,245,993‌
18,283,391
FNMA
4.000
03/01/44
17,570,316‌
789,312
FNMA
4.000
05/01/44
755,490‌
822,328
FNMA
4.000
07/01/44
787,834‌
814,855
FNMA
4.000
07/01/44
780,443‌
577,836
FNMA
3.500
09/01/44
538,215‌
727,217
FNMA
4.000
09/01/44
695,905‌
1,849,808
FNMA
3.500
10/01/44
1,723,448‌
4,996,104
FNMA
5.000
11/01/44
5,031,864‌
730,831
FNMA
4.000
12/01/44
699,288‌
1,921,954
FNMA
3.000
01/01/45
1,735,107‌
6,484,901
FNMA
3.000
01/01/45
5,854,571‌
7,565,846
FNMA
3.500
01/01/45
7,066,290‌
3,076,143
FNMA
3.500
02/01/45
2,863,210‌
2,021,743
FNMA
3.000
04/01/45
1,825,140‌
2,607,221
FNMA
3.500
05/01/45
2,425,885‌
3,107,895
FNMA
3.500
07/01/45
2,891,684‌
2,966,589
FNMA
4.000
07/01/45
2,833,632‌
10,185,522
FNMA
3.500
09/01/45
9,536,273‌
4,785,506
FNMA
3.000
11/01/45
4,320,116‌
1,962,439
FNMA
3.500
11/01/45
1,825,173‌
6,126,763
FNMA
4.000
11/01/45
5,851,419‌
1,538,998
FNMA
3.500
12/01/45
1,431,346‌
5,745,223
FNMA
3.500
12/01/45
5,343,341‌
2,708,929
FNMA
3.500
12/01/45
2,519,447‌
7,858,030
FNMA
3.500
01/01/46
7,310,960‌
1,487,565
FNMA
3.500
02/01/46
1,383,511‌
3,979,552
FNMA
3
.500
04/01/46
3,706,673‌
2,293,463
FNMA
4.500
05/01/46
2,250,656‌
2,065,486
FNMA
3.000
06/01/46
1,851,812‌
3,156,578
FNMA
3.500
07/01/46
2,935,755‌
5,499,917
FNMA
3.500
08/01/46
5,149,343‌
3,167,203
FNMA
4.000
08/01/46
3,022,617‌
3,272,805
FNMA
3.000
09/01/46
2,921,181‌
4,056,507
FNMA
3.000
10/01/46
3,631,226‌
21,065,843
FNMA
3.000
11/01/46
18,919,127‌
1,877,389
FNMA
3.500
12/01/46
1,738,257‌
25,006,873
FNMA
3.000
01/01/47
22,402,377‌
3,161,424
FNMA
3.000
02/01/47
2,828,985‌
2,126,034
FNMA
4.000
02/01/47
2,027,221‌
4,471,214
FNMA
3.000
03/01/47
4,000,689‌
2,714,973
FNMA
3.500
03/01/47
2,512,156‌
614,729
FNMA
4.000
03/01/47
586,222‌
489,592
FNMA
4.500
03/01/47
478,617‌
4,045,562
FNMA
3.000
04/01/47
3,652,154‌
6,271,066
FNMA
3.000
04/01/47
5,610,638‌
3,601,029
FNMA
3.500
04/01/47
3,322,601‌
1,803,277
FNMA
3.500
05/01/47
1,676,146‌
3,579,552
FNMA
3.500
07/01/47
3,348,296‌
Bond
Index
Fund
June
30,
2023
124
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
13,864,852
FNMA
4.000
%
07/01/47
$
13,253,338‌
18,378,082
FNMA
3.500
11/01/47
16,961,455‌
1,402,412
FNMA
4.500
11/01/47
1,376,232‌
1,820,603
FNMA
3.500
01/01/48
1,683,403‌
6,624,596
FNMA
4.000
01/01/48
6,315,991‌
1,039,431
FNMA
3.000
02/01/48
928,307‌
1,493,213
FNMA
3.500
02/01/48
1,378,108‌
10,369,011
FNMA
3.500
04/01/48
9,569,697‌
2,120,183
FNMA
4.000
04/01/48
2,024,093‌
181,835
FNMA
4.500
04/01/48
178,327‌
3,189,081
FNMA
3.500
06/01/48
2,943,225‌
5,484,927
FNMA
4.000
07/01/48
5,229,394‌
3,526,495
FNMA
4.500
07/01/48
3,458,475‌
2,006,775
FNMA
4.000
08/01/48
1,912,048‌
1,484,189
FNMA
4.000
10/01/48
1,415,038‌
2,049,209
FNMA
4.500
10/01/48
2,005,295‌
16,685,258
FNMA
3.000
11/01/48
14,932,032‌
4,075,189
FNMA
4.000
11/01/48
3,881,378‌
1,431,711
FNMA
4.500
11/01/48
1,399,281‌
1,502,381
FNMA
4.000
12/01/48
1,432,381‌
1,270,184
FNMA
4.500
01/01/49
1,240,041‌
3,408,527
FNMA
4.500
02/01/49
3,331,291‌
4,410,358
FNMA
4.000
04/01/49
4,204,853‌
3,841,433
FNMA
5.000
04/01/49
3,839,019‌
4,846,897
FNMA
3.500
07/01/49
4,471,286‌
17,828,468
FNMA
3.500
08/01/49
16,453,795‌
2,909,692
FNMA
4.000
08/01/49
2,767,983‌
10,596,017
FNMA
3.000
09/01/49
9,414,016‌
6,022,901
FNMA
3.000
12/01/49
5,350,413‌
13,313,254
FNMA
3.000
12/01/49
11,888,515‌
11,481,365
FNMA
3.000
12/01/49
10,197,049‌
23,076,483
FNMA
3.000
02/01/50
20,561,836‌
10,711,074
FNMA
3.500
02/01/50
9,919,753‌
14,553,229
FNMA
3.000
03/01/50
12,898,960‌
20,986,902
FNMA
3.000
05/01/50
18,619,671‌
11,639,261
FNMA
3.000
06/01/50
10,317,560‌
8,936,688
FNMA
4.000
06/01/50
8,488,886‌
10,939,682
FNMA
4.000
08/01/50
10,373,288‌
30,498,530
FNMA
2.500
09/01/50
26,097,839‌
164,196,705
FNMA
2.500
10/01/50
140,105,339‌
20,544,561
FNMA
1.500
11/01/50
15,889,876‌
100,692,356
FNMA
2.000
11/01/50
82,820,562‌
14,716,186
FNMA
2.500
11/01/50
12,563,725‌
57,964,194
FNMA
1.500
12/01/50
44,831,250‌
106,734,210
FNMA
2.000
12/01/50
87,778,670‌
9,540,311
FNMA
2.500
12/01/50
8,161,176‌
80,972,766
FNMA
2.000
01/01/51
66,588,105‌
8,478,011
FNMA
1.500
02/01/51
6,571,105‌
7,710,679
FNMA
2.000
02/01/51
6,319,813‌
96,601,751
FNMA
2.500
02/01/51
82,427,175‌
38,731,798
FNMA
1.500
03/01/51
29,960,102‌
110,080,201
FNMA
2.000
03/01/51
90,198,116‌
22,219,568
FNMA
1.500
04/01/51
17,183,969‌
133,316,141
FNMA
2.000
04/01/51
109,155,929‌
30,093,278
FNMA
2.500
04/01/51
25,649,826‌
84,982,499
FNMA
2.000
05/01/51
69,586,933‌
81,979,139
FNMA
2.000
06/01/51
67,059,437‌
48,498,694
FNMA
2.500
06/01/51
41,277,050‌
52,378,516
FNMA
2.000
07/01/51
42,788,956‌
80,212,956
FNMA
2.000
08/01/51
65,579,748‌
97,778,442
FNMA
2.500
08/01/51
83,096,210‌
125
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
44,610,086
FNMA
2.000
%
09/01/51
$
36,493,109‌
42,603,141
FNMA
2.500
09/01/51
36,230,414‌
11,387,929
FNMA
1.500
11/01/51
8,806,968‌
94,776,700
FNMA
2.000
11/01/51
77,416,614‌
44,191,618
FNMA
2.500
11/01/51
37,540,217‌
69,195,387
FNMA
2.000
12/01/51
56,476,550‌
73,767,095
FNMA
2.000
12/01/51
60,215,350‌
85,458,118
h
FNMA
2.500
12/01/51
72,577,621‌
90,944,900
FNMA
2.500
01/01/52
77,119,561‌
59,012,694
FNMA
3.000
01/01/52
52,064,310‌
66,609,946
FNMA
2.000
02/01/52
54,339,929‌
17,135,180
FNMA
3.500
02/01/52
15,635,594‌
50,744,309
FNMA
2.000
03/01/52
41,409,901‌
78,806,976
FNMA
2
.500
03/01/52
66,857,751‌
8,974,169
FNMA
3.500
03/01/52
8,187,623‌
14,280,407
FNMA
2.000
04/01/52
11,650,148‌
29,475,518
FNMA
2.500
04/01/52
25,006,139‌
9,182,660
FNMA
3.500
04/01/52
8,369,538‌
54,441,004
FNMA
2.500
05/01/52
46,219,858‌
19,395,096
FNMA
3.000
05/01/52
17,075,014‌
7,497,715
FNMA
3.500
05/01/52
6,833,801‌
57,475,285
FNMA
4.000
05/01/52
53,968,377‌
9,532,110
FNMA
2.500
06/01/52
8,086,869‌
4,730,074
FNMA
3.500
06/01/52
4,311,236‌
14,081,606
FNMA
4.000
06/01/52
13,222,379‌
32,515,993
FNMA
4.500
06/01/52
31,268,542‌
5,681,272
FNMA
3.000
07/01/52
5,003,234‌
11,141,665
h
FNMA
3.000
07/01/52
9,809,035‌
27,813,201
FNMA
3.500
07/01/52
25,353,987‌
9,483,379
FNMA
4.000
07/01/52
8,904,713‌
39,354,431
FNMA
4.000
07/01/52
36,940,874‌
9,394,132
FNMA
4.500
07/01/52
9,033,483‌
23,569,445
FNMA
4.500
07/01/52
22,664,588‌
23,084,899
FNMA
5.000
07/01/52
22,637,431‌
12,843,038
FNMA
2.500
08/01/52
10,895,708‌
4,662,446
FNMA
5.000
08/01/52
4,573,304‌
19,370,053
h
FNMA
3.500
09/01/52
17,657,264‌
5,089,372
FNMA
4.000
09/01/52
4,776,716‌
20,223,529
FNMA
4.500
09/01/52
19,446,597‌
26,292,113
h
FNMA
5.000
09/01/52
25,781,624‌
4,516,770
FNMA
3.000
10/01/52
3,977,102‌
8,701,552
FNMA
4.000
10/01/52
8,167,891‌
54,610,880
FNMA
4.500
10/01/52
52,510,067‌
27,249,966
FNMA
5.000
10/01/52
26,713,732‌
15,610,592
FNMA
5.500
10/01/52
15,541,917‌
16,570,456
FNMA
3.000
11/01/52
14,588,316‌
15,191,506
FNMA
3.500
11/01/52
13,846,330‌
10,621,722
FNMA
4.000
11/01/52
9,969,212‌
32,013,352
FNMA
5.000
11/01/52
31,372,022‌
9,436,628
FNMA
5.500
11/01/52
9,403,730‌
9,208,676
FNMA
6.000
11/01/52
9,289,337‌
3,080,416
FNMA
4.000
12/01/52
2,891,188‌
15,208,114
FNMA
5.500
12/01/52
15,179,521‌
15,779,636
FNMA
5.500
01/01/53
15,704,251‌
22,373,592
FNMA
6.000
01/01/53
22,569,569‌
6,270,761
FNMA
6.500
01/01/53
6,403,083‌
15,860,056
FNMA
5.000
02/01/53
15,542,189‌
20,084,579
FNMA
5.500
02/01/53
19,988,627‌
891,692
FNMA
7.000
02/01/53
919,598‌
2,139,731
FNMA
3.500
03/01/53
1,950,257‌
2,113,554
FNMA
4.000
03/01/53
1,983,710‌
Bond
Index
Fund
June
30,
2023
126
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
3,049,463
FNMA
4.500
%
03/01/53
$
2,932,121‌
7,467,010
FNMA
6.000
03/01/53
7,532,416‌
3,579,541
FNMA
6.500
03/01/53
3,655,075‌
2,952,129
FNMA
5.000
04/01/53
2,892,450‌
7,735,567
FNMA
5.500
04/01/53
7,699,146‌
3,781,850
FNMA
6.000
04/01/53
3,814,977‌
1,877,049
FNMA
6.500
04/01/53
1,916,658‌
11,159,990
h
FNMA
5.000
05/01/53
10,936,405‌
10,362,296
h
FNMA
4.500
06/01/53
9,963,545‌
24,050,000
h
FNMA
5.500
07/01/53
23,936,766‌
12,870,000
h
FNMA
6.000
07/01/53
12,982,835‌
8,795,000
h
FNMA
6.500
07/01/53
8,980,586‌
1,728,145
FNMA
3.500
07/01/55
1,603,144‌
44
Government
National
Mortgage
Association
(GNMA)
4.500
01/20/24
43‌
939
GNMA
4.000
04/15/24
932‌
64
GNMA
4.500
07/15/24
63‌
6,519
GNMA
4.000
08/15/24
6,443‌
1,427
GNMA
4.500
08/15/24
1,402‌
1,934
GNMA
4.000
09/15/24
1,915‌
1,274
GNMA
4.500
01/15/25
1,251‌
13,340
GNMA
4.000
08/15/25
13,089‌
7,260
GNMA
3.500
03/15/26
7,062‌
7,969
GNMA
4.000
04/15/26
7,773‌
9,447
GNMA
4.000
06/20/26
9,247‌
15,040
GNMA
3.500
11/20/26
14,625‌
75,517
GNMA
3.000
12/15/26
72,779‌
260,468
GNMA
2.500
04/20/27
249,037‌
220,091
GNMA
2.500
09/20/27
209,768‌
85
GNMA
6.500
09/15/28
87‌
85
GNMA
6.500
09/15/28
86‌
712
GNMA
6.500
11/15/28
726‌
132
GNMA
7.500
11/15/28
132‌
350,823
GNMA
3.500
11/20/28
339,042‌
4,330
GNMA
8.500
10/15/30
4,345‌
1,522
GNMA
8.500
10/20/30
1,574‌
189
GNMA
8.500
12/15/30
201‌
199
GNMA
7.000
06/20/31
203‌
175
GNMA
7.000
07/15/31
173‌
1,835,660
GNMA
3.000
08/20/32
1,732,862‌
75,824
GNMA
6.000
10/15/32
78,851‌
10,038
GNMA
5.500
12/20/32
10,190‌
26,447
GNMA
5.500
05/15/33
26,562‌
2,652
GNMA
5.000
07/15/33
2,627‌
11,845
GNMA
5.500
07/15/33
11,927‌
2,788
GNMA
5.000
07/20/33
2,792‌
8,514
GNMA
5.000
08/15/33
8,481‌
12,224
GNMA
5.000
08/15/33
12,178‌
45,569
GNMA
5.500
09/15/33
46,098‌
38,129
GNMA
6.000
11/20/33
39,557‌
16,320
GNMA
5.500
05/20/34
16,728‌
24,009
GNMA
6.000
09/20/34
24,411‌
1,676
GNMA
5.000
10/20/34
1,699‌
45,044
GNMA
5.500
11/15/34
45,939‌
22,836
GNMA
6.500
01/15/35
23,587‌
13,166
GNMA
5
.500
02/20/35
13,468‌
243,804
GNMA
5.000
03/20/35
247,118‌
71,531
GNMA
5.000
04/15/35
71,675‌
74,487
GNMA
5.500
05/20/35
76,723‌
2,566
GNMA
5.000
09/20/35
2,601‌
1,920
GNMA
5.000
11/15/35
1,942‌
3,009
GNMA
5.000
11/15/35
3,005‌
127
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
20,886
GNMA
5.500
%
02/20/36
$
21,514‌
2,913
GNMA
5.500
03/15/36
2,973‌
6,647
GNMA
5.500
05/20/36
6,812‌
2,638
GNMA
6.500
06/15/36
2,706‌
63,362
GNMA
5.500
06/20/36
65,263‌
3,927
GNMA
5.000
09/15/36
3,972‌
2,098
GNMA
6.000
09/15/36
2,140‌
6,282
GNMA
6.000
10/20/36
6,574‌
4,165
GNMA
5.000
12/15/36
4,212‌
3,849
GNMA
6.000
01/20/37
4,026‌
55,467
GNMA
5.500
02/15/37
56,036‌
13,872
GNMA
6.000
02/20/37
14,516‌
96,409
GNMA
6.000
04/15/37
100,715‌
39,649
GNMA
6.000
04/20/37
40,247‌
5,573
GNMA
6.000
06/15/37
5,638‌
7,633
GNMA
6.000
08/20/37
7,987‌
6,637
GNMA
6.500
08/20/37
7,084‌
30,273
GNMA
6.500
11/20/37
31,866‌
10,674
GNMA
6.000
12/15/37
11,046‌
1,684
GNMA
5.000
02/20/38
1,707‌
36,259
GNMA
5.000
04/15/38
36,359‌
1,056
GNMA
5.500
05/20/38
1,085‌
5,687
GNMA
5.500
06/15/38
5,861‌
19,826
GNMA
6.000
06/20/38
20,747‌
19,709
GNMA
5.500
07/15/38
20,236‌
138,219
GNMA
5.000
07/20/38
139,579‌
135,924
GNMA
5.500
07/20/38
140,426‌
4,452
GNMA
5
.500
08/15/38
4,584‌
45,429
GNMA
6.000
08/15/38
47,484‌
40,989
GNMA
6.000
08/15/38
41,671‌
13,403
GNMA
6.000
08/20/38
14,026‌
52,693
GNMA
6.000
09/20/38
55,126‌
31,654
GNMA
5.000
10/15/38
31,462‌
5,084
GNMA
5.500
10/15/38
5,161‌
7,071
GNMA
6.500
10/20/38
7,094‌
2,844
GNMA
6.500
10/20/38
3,025‌
744
GNMA
5.500
11/15/38
767‌
12,411
GNMA
6.500
11/20/38
13,047‌
42,283
GNMA
6.000
12/15/38
44,051‌
881
GNMA
6.500
12/15/38
905‌
9,953
GNMA
5.000
01/15/39
10,015‌
217,457
GNMA
4.500
01/20/39
215,939‌
29,333
GNMA
6.500
01/20/39
30,764‌
8,133
GNMA
5.000
02/15/39
8,183‌
685
GNMA
6.000
02/15/39
693‌
7,484
GNMA
4.500
03/15/39
7,393‌
101,946
GNMA
4.500
03/15/39
99,758‌
2,890
GNMA
4.500
03/20/39
2,870‌
59,163
GNMA
5.500
03/20/39
61,819‌
5,091
GNMA
4.500
04/15/39
5,015‌
102,706
GNMA
5.500
04/15/39
105,767‌
1,989
GNMA
5.000
04/20/39
2,020‌
8,274
GNMA
4.000
05/15/39
8,042‌
143,159
GNMA
4.500
05/15/39
141,281‌
71,004
GNMA
5.000
05/15/39
71,259‌
10,244
GNMA
4.000
05/20/39
9,947‌
25,182
GNMA
4.500
05/20/39
25,006‌
604,263
GNMA
5.000
05/20/39
611,656‌
4,069
GNMA
4.500
06/15/39
4,020‌
356,160
GNMA
4.500
06/15/39
351,986‌
576,943
GNMA
5.000
06/15/39
577,784‌
Bond
Index
Fund
June
30,
2023
128
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
435,447
GNMA
5.000
%
06/15/39
$
433,631‌
9,519
GNMA
5.000
06/15/39
9,575‌
3,969
GNMA
5.000
06/15/39
3,987‌
4,396
GNMA
5.000
06/15/39
4,425‌
5,678
GNMA
4.000
06/20/39
5,513‌
3,782
GNMA
5.000
06/20/39
3,842‌
407,452
GNMA
4.000
07/15/39
393,674‌
4,586
GNMA
4.500
07/15/39
4,488‌
12,306
GNMA
4.500
07/15/39
12,042‌
498,117
GNMA
4.500
07/15/39
491,574‌
6,788
GNMA
5.000
07/15/39
6,823‌
55,226
GNMA
4.500
07/20/39
54,840‌
51,834
GNMA
5.000
07/20/39
52,653‌
6,005
GNMA
5.500
07/20/39
6,185‌
24,854
GNMA
4.000
08/15/39
24,084‌
48,393
GNMA
5.000
08/15/39
48,160‌
2,846
GNMA
5.500
08/15/39
2,879‌
17,519
GNMA
6.000
08/15/39
17,712‌
17,262
GNMA
4.000
08/20/39
16,761‌
13,122
GNMA
5.000
08/20/39
13,333‌
17,798
GNMA
5.000
09/20/39
18,085‌
3,686
GNMA
4.500
10/15/39
3,607‌
2,035
GNMA
5.000
10/15/39
2,044‌
5,580
GNMA
4.500
10/20/39
5,541‌
11,815
GNMA
4.500
11/15/39
11,671‌
8,120
GNMA
4.500
11/20/39
8,064‌
9,852
GNMA
5.000
11/20/39
10,010‌
275,348
GNMA
4.500
12/15/39
271,732‌
8,155
GNMA
4.500
12/20/39
8,098‌
311,978
GNMA
5.000
12/20/39
316,999‌
269,558
GNMA
4.500
01/20/40
267,677‌
4,782
GNMA
5.500
01/20/40
4,944‌
184,436
GNMA
5.500
02/15/40
190,123‌
24,335
GNMA
4.000
03/15/40
23,727‌
4,118
GNMA
5.000
03/15/40
4,081‌
1,345
GNMA
4.500
04/15/40
1,320‌
49,142
GNMA
5.000
04/15/40
48,966‌
10,891
GNMA
4.500
04/20/40
10,815‌
1,611
GNMA
4.500
05/15/40
1,590‌
48,377
GNMA
5.000
05/15/40
48,497‌
81,998
i
GNMA
DGS1
+
1.500%
2.875
05/20/40
80,012‌
2,278
GNMA
4.500
05/20/40
2,262‌
1,058,413
GNMA
4.500
06/15/40
1,045,575‌
3,032
GNMA
4.500
06/15/40
2,992‌
3,412
GNMA
4.500
06/15/40
3,367‌
57,062
GNMA
5.000
06/20/40
57,769‌
95,542
GNMA
4.500
07/15/40
94,293‌
30,075
GNMA
4.500
07/15/40
29,431‌
383,459
GNMA
4.500
07/20/40
380,783‌
11,679
GNMA
5.000
07/20/40
11,867‌
79,240
GNMA
4.000
08/15/40
76,693‌
412,972
GNMA
4.000
08/15/40
398,238‌
34,417
GNMA
4.500
08/15/40
34,001‌
28,165
GNMA
4.500
08/20/40
27,968‌
25,200
GNMA
4.500
09/20/40
24,902‌
9,304
GNMA
5.500
09/20/40
9,619‌
8,622
GNMA
6.500
09/20/40
8,850‌
12,910
GNMA
4.000
10/15/40
12,495‌
20,570
GNMA
6.000
10/20/40
21,523‌
149,934
GNMA
4.000
11/15/40
145,133‌
328,299
GNMA
4.000
11/20/40
318,767‌
129
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
77,244
GNMA
3
.500
%
12/15/40
$
72,858‌
147,934
GNMA
5.500
12/20/40
152,744‌
426,053
GNMA
4.000
01/15/41
414,658‌
888,608
GNMA
4.000
01/20/41
862,803‌
84,614
GNMA
4.000
02/15/41
82,312‌
243,192
GNMA
4.500
02/20/41
241,495‌
143,172
GNMA
4.500
03/15/41
141,454‌
275,154
GNMA
4.500
04/20/41
273,234‌
62,827
GNMA
5.000
04/20/41
63,839‌
17,384
i
GNMA
DGS1
+
1.500%
2.875
06/20/41
16,968‌
54,106
GNMA
4.000
07/15/41
52,634‌
114,929
GNMA
4.000
07/20/41
111,590‌
390,136
GNMA
4.500
07/20/41
387,413‌
343,017
GNMA
5.000
07/20/41
348,514‌
81,892
GNMA
4.500
08/15/41
80,815‌
168,500
GNMA
5.000
08/20/41
171,213‌
238,363
GNMA
4.000
09/15/41
229,878‌
11,985
i
GNMA
DGS1
+
1.500%
2.625
09/20/41
11,569‌
534,835
GNMA
4.000
09/20/41
519,301‌
38,996
GNMA
4.000
10/15/41
37,935‌
24,021
i
GNMA
DGS1
+
1.500%
2.750
10/20/41
23,088‌
12,671
i
GNMA
DGS1
+
1.500%
2.750
10/20/41
12,149‌
687,538
GNMA
4.000
10/20/41
667,568‌
95,899
GNMA
5.500
10/20/41
98,752‌
188,660
GNMA
3.500
11/15/41
177,944‌
483,129
GNMA
4.000
11/15/41
467,599‌
891,798
GNMA
4.500
11/20/41
885,586‌
413,975
GNMA
5.000
11/20/41
420,646‌
90,955
GNMA
6.000
11/20/41
95,181‌
487,816
GNMA
3.500
01/20/42
458,838‌
65,844
i
GNMA
DGS1
+
1.500%
3.625
02/20/42
65,163‌
232,268
GNMA
3.500
03/20/42
218,522‌
442,536
GNMA
4.500
03/20/42
439,445‌
430,385
GNMA
3.500
04/15/42
405,969‌
950,369
GNMA
3.500
05/20/42
883,027‌
2,204,068
GNMA
3.500
05/20/42
2,074,078‌
511,074
GNMA
4.000
05/20/42
496,223‌
908,367
GNMA
3.500
07/15/42
856,983‌
88,082
i
GNMA
DGS1
+
1.500%
2.625
07/20/42
84,999‌
516,534
GNMA
3.500
07/20/42
486,224‌
682,300
GNMA
3.000
08/20/42
622,697‌
934,959
GNMA
3.500
08/20/42
873,499‌
2,149,906
GNMA
3.500
08/20/42
2,023,949‌
444,981
GNMA
6.000
08/20/42
465,413‌
873,070
GNMA
3.500
10/20/42
822,093‌
1,013,487
GNMA
3.000
11/20/42
925,616‌
1,020,788
GNMA
3
.000
12/20/42
922,882‌
1,186,464
GNMA
3.000
12/20/42
1,083,909‌
638,861
GNMA
3.000
01/15/43
581,884‌
2,706,978
GNMA
3.000
01/15/43
2,464,879‌
886,142
GNMA
3.000
01/20/43
809,763‌
1,515,216
GNMA
3.000
02/20/43
1,384,593‌
1,179,272
GNMA
3.000
02/20/43
1,082,619‌
252,612
GNMA
3.000
04/15/43
230,040‌
288,434
GNMA
5.000
04/20/43
293,056‌
598,252
GNMA
3.000
05/20/43
547,310‌
908,177
GNMA
3.000
06/20/43
831,078‌
2,310,706
GNMA
3.500
06/20/43
2,147,133‌
1,989,370
GNMA
3.000
07/20/43
1,820,984‌
939,565
GNMA
3.500
07/20/43
885,280‌
3,893,465
GNMA
4.500
08/20/43
3,859,061‌
Bond
Index
Fund
June
30,
2023
130
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,299,409
GNMA
3.500
%
09/20/43
$
1,225,005‌
418,957
GNMA
4.000
09/20/43
406,782‌
5,457,361
GNMA
3.500
10/20/43
5,144,768‌
2,505,612
GNMA
4.000
10/20/43
2,428,111‌
233,506
GNMA
3.500
11/20/43
220,072‌
451,096
GNMA
4.000
11/20/43
435,763‌
431,475
GNMA
4.500
12/20/43
427,665‌
476,103
GNMA
4.500
01/20/44
471,897‌
566,888
GNMA
3.500
02/20/44
533,630‌
765,594
GNMA
4.000
02/20/44
743,353‌
762,865
GNMA
4.000
05/20/44
740,696‌
801,136
GNMA
4.000
06/20/44
776,112‌
2,060,775
GNMA
3.500
07/20/44
1,935,313‌
6,381,880
GNMA
3.500
10/20/44
5,988,904‌
661,155
GNMA
4.500
10/20/44
655,314‌
1,461,246
GNMA
3.500
11/20/44
1,370,611‌
1,836,602
GNMA
3.000
12/20/44
1,677,987‌
3,388,658
GNMA
4.000
12/20/44
3,282,373‌
4,594,733
GNMA
3.500
02/20/45
4,308,765‌
2,726,600
GNMA
4.000
03/20/45
2,643,210‌
1,878,541
GNMA
3.000
04/20/45
1,712,402‌
4,016,128
GNMA
3.000
06/20/45
3,661,105‌
9,134,908
GNMA
3.000
07/20/45
8,356,804‌
3,114,439
GNMA
4.000
10/20/45
2,995,090‌
5,260,997
GNMA
4.000
11/20/45
5,069,188‌
2,342,191
GNMA
3.000
12/20/45
2,136,674‌
2,092,116
GNMA
3.500
12/20/45
1,953,412‌
11,278,894
GNMA
3.000
03/20/46
10,277,436‌
3,947,266
GNMA
3.000
04/20/46
3,592,807‌
2,390,793
GNMA
4.000
04/20/46
2,299,151‌
10,610,833
GNMA
3.000
05/20/46
9,649,189‌
6,549,603
GNMA
3.500
05/20/46
6,140,740‌
2,418,532
GNMA
3.000
06/20/46
2,198,575‌
1,466,976
GNMA
3.500
06/20/46
1,375,898‌
1,826,936
GNMA
3.000
07/20/46
1,662,922‌
3,121,343
GNMA
3
.500
08/20/46
2,923,898‌
1,768,811
GNMA
3.000
09/20/46
1,608,103‌
7,260,255
GNMA
3.500
09/20/46
6,804,174‌
3,465,647
GNMA
3.000
10/20/46
3,144,091‌
1,914,089
GNMA
3.000
12/20/46
1,738,597‌
11,949,185
GNMA
3.000
01/20/47
10,840,483‌
1,363,805
GNMA
4.000
01/20/47
1,307,759‌
2,958,144
GNMA
4.000
04/20/47
2,837,543‌
3,155,782
GNMA
3.500
05/20/47
2,964,554‌
1,601,397
GNMA
3.500
06/20/47
1,499,483‌
2,030,433
GNMA
3.000
07/20/47
1,844,862‌
3,683,573
GNMA
4.500
07/20/47
3,614,626‌
3,808,799
GNMA
3.000
08/20/47
3,448,213‌
4,234,951
GNMA
3.500
08/20/47
3,957,313‌
7,509,377
GNMA
3.000
09/20/47
6,795,344‌
9,566,416
GNMA
4.000
09/20/47
9,205,696‌
6,809,064
GNMA
3.500
11/20/47
6,368,841‌
5,055,891
GNMA
3.500
12/20/47
4,735,584‌
3,205,872
GNMA
3.500
01/20/48
3,004,428‌
4,028,139
GNMA
4.000
05/20/48
3,863,854‌
3,001,162
GNMA
4.000
06/20/48
2,865,615‌
7,003,662
GNMA
3.500
07/20/48
6,537,926‌
3,126,370
GNMA
4.000
08/20/48
2,995,012‌
2,188,703
GNMA
5.000
08/20/48
2,179,417‌
2,000,266
GNMA
4.500
09/20/48
1,955,118‌
1,724,089
GNMA
5.000
10/20/48
1,718,636‌
131
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,402,305
GNMA
4.500
%
11/20/48
$
1,370,030‌
3,237,956
GNMA
3.500
04/20/49
3,019,887‌
10,907,129
GNMA
4.500
04/20/49
10,649,737‌
3,310,200
GNMA
4
.000
05/20/49
3,161,048‌
2,119,157
GNMA
3.500
06/20/49
1,975,296‌
4,775,406
GNMA
3.500
09/20/49
4,450,009‌
3,426,190
GNMA
3.500
11/20/49
3,192,302‌
26,835,689
GNMA
2.500
12/20/49
23,379,299‌
14,437,146
GNMA
3.000
02/20/50
13,022,235‌
7,414,942
GNMA
3.500
02/20/50
6,909,501‌
10,547,129
GNMA
3.500
04/20/50
9,826,052‌
9,971,613
GNMA
3.000
05/20/50
8,984,054‌
35,997,850
GNMA
3.000
08/20/50
32,414,861‌
10,396,342
GNMA
3.000
09/20/50
9,354,963‌
16,095,667
GNMA
2.500
10/20/50
14,005,438‌
42,225,910
GNMA
2.000
11/20/50
35,633,689‌
14,417,696
GNMA
2.500
12/20/50
12,543,468‌
20,865,488
GNMA
2.000
01/20/51
17,586,981‌
6,205,796
GNMA
2.500
01/20/51
5,398,495‌
14,880,958
GNMA
2.000
02/20/51
12,543,967‌
4,116,049
GNMA
1.500
04/20/51
3,299,701‌
17,469,304
GNMA
2.000
04/20/51
14,726,480‌
36,613,340
GNMA
2.500
04/20/51
31,822,213‌
15,118,808
GNMA
2.500
05/20/51
13,135,906‌
72,025,466
GNMA
2.500
07/20/51
62,369,924‌
20,881,129
GNMA
2.500
08/20/51
18,106,103‌
25,525,629
GNMA
2.500
09/20/51
22,126,019‌
161,590,102
GNMA
2.000
11/20/51
135,952,417‌
17,974,878
GNMA
2.000
12/20/51
15,112,083‌
26,626,649
GNMA
2.500
12/20/51
23,064,106‌
26,333,139
GNMA
3.000
12/20/51
23,577,742‌
4,493,999
GNMA
3.500
01/20/52
4,147,440‌
13,665,771
GNMA
2.500
02/20/52
11,836,177‌
22,315,351
GNMA
3.500
02/20/52
20,595,293‌
9,779,803
GNMA
2.000
04/20/52
8,217,844‌
25,946,782
GNMA
2.500
04/20/52
22,471,923‌
18,612,598
GNMA
3.000
04/20/52
16,628,573‌
17,112,190
GNMA
2.000
05/20/52
14,380,670‌
14,824,677
GNMA
2.500
05/20/52
12,838,639‌
2,159,355
GNMA
3.000
05/20/52
1,930,984‌
9,511,012
GNMA
4.000
05/20/52
8,998,860‌
17,542,979
GNMA
3.000
06/20/52
15,689,702‌
9,543,195
GNMA
4.000
06/20/52
9,029,298‌
3,352,282
h
GNMA
3.000
07/20/52
2,996,165‌
12,751,749
GNMA
3.500
07/20/52
11,767,769‌
4,793,516
GNMA
4.500
07/20/52
4,629,745‌
4,774,424
GNMA
3.500
08/20/52
4,406,087‌
9,664,228
GNMA
4.000
08/20/52
9,143,801‌
4,828,346
GNMA
4.500
08/20/52
4,664,280‌
4,786,214
GNMA
5.000
08/20/52
4,704,461‌
5,908,493
GNMA
3.500
09/20/52
5,452,552‌
5,839,898
GNMA
4.000
09/20/52
5,525,410‌
37,035,487
GNMA
4.500
09/20/52
35,758,324‌
4,820,649
GNMA
5.000
09/20/52
4,738,308‌
9,392,923
GNMA
5.500
09/20/52
9,351,254‌
7,511,478
GNMA
3.500
10/20/52
6,931,832‌
20,871,556
GNMA
4.000
10/20/52
19,747,593‌
2,130,018
GNMA
3.500
11/20/52
1,965,653‌
4,910,339
GNMA
4.500
11/20/52
4,739,552‌
30,895,179
GNMA
5.000
11/20/52
30,386,669‌
9,963,596
GNMA
5.500
11/20/52
9,925,838‌
Bond
Index
Fund
June
30,
2023
132
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
8,791,624
GNMA
5.500
%
12/20/52
$
8,755,707‌
5,907,431
GNMA
6.000
12/20/52
5,948,583‌
2,963,846
GNMA
5.000
01/20/53
2,913,221‌
8,669,075
GNMA
6.000
01/20/53
8,729,300‌
6,746,942
GNMA
6.500
01/20/53
6,867,706‌
2,028,461
GNMA
4.000
02/20/53
1,919,231‌
4,062,573
h
GNMA
5.000
02/20/53
3,993,181‌
3,100,572
h
GNMA
4.500
03/20/53
2,992,651‌
11,058,462
GNMA
5.000
03/20/53
10,869,574‌
5,874,010
GNMA
5.500
03/20/53
5,848,853‌
3,864,017
GNMA
6.000
03/20/53
3,890,998‌
4,221,644
h
GNMA
4.000
04/20/53
3,994,309‌
5,150,444
GNMA
4.500
05/20/53
4,971,169‌
9,020,000
h
GNMA
5.500
06/20/53
8,981,299‌
3,920,000
h
GNMA
6
.500
06/20/53
3,992,722‌
2,970,000
h
GNMA
6.000
07/20/53
2,995,052‌
TOTAL
MORTGAGE
BACKED
5,638,966,393‌
MUNICIPAL
BONDS
-
0.8%
200,000
Alabama
Economic
Settlement
Authority
4.263
09/15/32
190,620‌
250,000
Alabama
Federal
Aid
Highway
Finance
Authority
2.650
09/01/37
193,374‌
300,000
American
Municipal
Power
7.834
02/15/41
378,842‌
465,000
American
Municipal
Power
6.270
02/15/50
511,098‌
1,165,000
American
Municipal
Power
8.084
02/15/50
1,579,670‌
750,000
American
University
3.672
04/01/49
597,600‌
1,000,000
Bay
Area
Toll
Authority
6.918
04/01/40
1,180,303‌
2,000,000
Bay
Area
Toll
Authority
6.263
04/01/49
2,374,752‌
755,000
Bay
Area
Toll
Authority
3.126
04/01/55
537,898‌
500,000
California
Earthquake
Authority
5.603
07/01/27
500,184‌
100,000
California
Health
Facilities
Financing
Authority
4.190
06/01/37
93,566‌
100,000
California
Health
Facilities
Financing
Authority
4.353
06/01/41
92,263‌
200,000
California
Institute
of
Technology
4.321
08/01/45
183,075‌
750,000
California
Institute
of
Technology
3.650
09/01/19
511,451‌
200,000
California
State
University
3.899
11/01/47
175,110‌
1,000,000
California
State
University
2.897
11/01/51
725,882‌
750,000
California
State
University
2.975
11/01/51
541,041‌
950,000
California
State
University
2.939
11/01/52
668,724‌
720,000
Central
Puget
Sound
Regional
Transit
Authority
5.491
11/01/39
757,131‌
1,665,000
Charlotte-Mecklenburg
Hospital
Authority
3.204
01/15/51
1,182,047‌
460,000
Chicago
Metropolitan
Water
Reclamation
District-
Greater
Chicago
5.720
12/01/38
493,068‌
2,250,000
Chicago
O'Hare
International
Airport
6.395
01/01/40
2,579,369‌
200,000
Chicago
O'Hare
International
Airport
4.472
01/01/49
186,976‌
200,000
Chicago
O'Hare
International
Airport
4.572
01/01/54
191,372‌
680,000
City
of
Atlanta
GA
Water
&
Wastewater
Revenue
2.257
11/01/35
547,689‌
690,000
City
of
Houston
TX
3.961
03/01/47
613,082‌
140,000
City
of
Los
Angeles
Department
of
Airports
Customer
Facility
Charge
Revenue
4.242
05/15/48
123,107‌
345,000
City
of
New
York
NY
5.263
10/01/52
366,181‌
1,000,000
City
of
Riverside
CA
3.857
06/01/45
859,842‌
310,000
City
of
San
Francisco
CA
Public
Utilities
Commission
Water
Revenue
3.303
11/01/39
255,793‌
865,000
City
of
San
Francisco
CA
Public
Utilities
Commission
Water
Revenue
2.825
11/01/41
678,221‌
875,000
City
of
Tucson
AZ
2.856
07/01/47
642,203‌
750,000
City
Public
Service
Board
of
San
Antonio
TX
5.808
02/01/41
819,222‌
150,000
Colorado
Bridge
Enterprise
6.078
12/01/40
163,886‌
200,000
Commonwealth
Financing
Authority
4.014
06/01/33
188,916‌
100,000
Commonwealth
Financing
Authority
3.864
06/01/38
89,724‌
100,000
Commonwealth
Financing
Authority
4.144
06/01/38
91,516‌
645,000
Commonwealth
Financing
Authority
3.807
06/01/41
552,179‌
825,000
Commonwealth
Financing
Authority
2.991
06/01/42
620,366‌
133
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MUNICIPAL
BONDS—continued
$
1,000,000
Commonwealth
of
Massachusetts
3.769
%
07/15/29
$
952,375‌
1,000,000
Commonwealth
of
Massachusetts
4.110
07/15/31
971,607‌
500,000
Commonwealth
of
Massachusetts
5.731
06/01/40
533,802‌
1,000,000
Commonwealth
of
Massachusetts
2.514
07/01/41
746,067‌
100,000
Commonwealth
of
Massachusetts
3.277
06/01/46
80,601‌
750,000
Commonwealth
of
Massachusetts
2
.900
09/01/49
537,689‌
130,000
County
of
Broward
FL
Airport
System
Revenue
3.477
10/01/43
106,683‌
200,000
County
of
Clark
NV
6.820
07/01/45
243,945‌
135,000
County
of
Miami-Dade
FL
Aviation
Revenue
4.280
10/01/41
120,919‌
200,000
County
of
Miami-Dade
FL
Water
&
Sewer
System
Revenue
3.490
10/01/42
162,024‌
1,000,000
County
of
Riverside
CA
3.818
02/15/38
906,902‌
1,485,000
Dallas
Area
Rapid
Transit
2.613
12/01/48
1,059,774‌
750,000
Dallas
Area
Rapid
Transit
5.022
12/01/48
774,123‌
255,000
Dallas
Fort
Worth
International
Airport
2.843
11/01/46
187,910‌
235,000
Dallas
Fort
Worth
International
Airport
4.087
11/01/51
207,865‌
445,000
Dallas
Fort
Worth
International
Airport
4.507
11/01/51
415,370‌
250,000
Dallas/Fort
Worth
International
Airport
2.994
11/01/38
209,776‌
235,000
Dallas/Fort
Worth
International
Airport
3.089
11/01/40
185,112‌
100,000
Dallas/Fort
Worth
International
Airport
3.144
11/01/45
76,930‌
210,000
Dallas/Fort
Worth
International
Airport
2.919
11/01/50
151,850‌
350,000
Denver
City
&
County
School
District
No.
1
4.242
12/15/37
327,645‌
200,000
District
of
Columbia
5.591
12/01/34
208,704‌
470,000
District
of
Columbia
Water
&
Sewer
Authority
3.207
10/01/48
352,736‌
445,000
District
of
Columbia
Water
&
Sewer
Authority
4.814
10/01/14
414,356‌
500,000
Duke
University
2.682
10/01/44
369,706‌
115,000
Duke
University
3.299
10/01/46
89,777‌
500,000
Duke
University
2.757
10/01/50
351,819‌
500,000
Duke
University
2.832
10/01/55
348,263‌
5,000
Energy
Northwest
2.814
07/01/24
4,933‌
360,000
Foothill-Eastern
Transportation
Corridor
Agency
4.094
01/15/49
298,680‌
300,000
Foothill-Eastern
Transportation
Corridor
Agency
3.924
01/15/53
241,896‌
300,000
George
Washington
University
4
.300
09/15/44
268,488‌
200,000
George
Washington
University
4.868
09/15/45
189,937‌
375,000
George
Washington
University
4.126
09/15/48
323,726‌
100,000
Georgetown
University
4.315
04/01/49
88,301‌
500,000
Georgetown
University
2.943
04/01/50
338,318‌
300,000
Georgetown
University
5.215
10/01/18
275,279‌
1,000,000
Golden
State
Tobacco
Securitization
Corp
3.487
06/01/36
818,123‌
1,500,000
Golden
State
Tobacco
Securitization
Corp
3.115
06/01/38
1,170,062‌
430,000
Golden
State
Tobacco
Securitization
Corp
3.714
06/01/41
327,552‌
695,000
Golden
State
Tobacco
Securitization
Corp
3.850
06/01/50
630,973‌
1,000,000
Golden
State
Tobacco
Securitization
Corp
4.214
06/01/50
750,177‌
970,000
Grand
Parkway
Transportation
Corp
3.236
10/01/52
715,158‌
175,000
Great
Lakes
Water
Authority
Sewage
Disposal
System
Revenue
3.056
07/01/39
141,641‌
330,000
Great
Lakes
Water
Authority
Water
Supply
System
Revenue
3.473
07/01/41
273,626‌
200,000
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
3.651
01/15/46
170,344‌
200,000
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
3.086
09/15/51
147,106‌
200,000
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
3.652
08/15/57
161,810‌
1,500,000
Idaho
Energy
Resources
Authority
2.861
09/01/46
1,093,586‌
500,000
Illinois
State
Toll
Highway
Authority
6.184
01/01/34
544,630‌
385,000
Indiana
Finance
Authority
3.051
01/01/51
295,652‌
770,000
JobsOhio
Beverage
System
2.833
01/01/38
615,849‌
1,500,000
Kansas
Development
Finance
Authority
2.774
05/01/51
1,082,437‌
1,000,000
Los
Angeles
Community
College
District
1.606
08/01/28
874,869‌
1,000,000
Los
Angeles
Community
College
District
1.806
08/01/30
836,207‌
770,000
Los
Angeles
Community
College
District
2.106
08/01/32
629,250‌
Bond
Index
Fund
June
30,
2023
134
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MUNICIPAL
BONDS—continued
$
240,000
Los
Angeles
Community
College
District
6.750
%
08/01/49
$
300,208‌
350,000
Los
Angeles
Department
of
Water
&
Power
Power
System
Revenue
5.716
07/01/39
376,654‌
1,500,000
Los
Angeles
Department
of
Water
&
Power
Power
System
Revenue
6.574
07/01/45
1,812,403‌
1,630,000
Los
Angeles
Unified
School
District
5.750
07/01/34
1,731,286‌
1,000,000
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Auth
5.081
06/01/31
997,944‌
1,000,000
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Auth
4.145
02/01/33
966,779‌
1,000,000
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Auth
5.048
12/01/34
1,008,525‌
1,000,000
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Auth
4.275
02/01/36
941,995‌
830,000
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Auth
4.475
08/01/39
785,744‌
1,000,000
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Auth
5.198
12/01/39
1,021,799‌
1,000,000
Maryland
Health
&
Higher
Educational
Facilities
Authority
3.052
07/01/40
752,537‌
1,000,000
Maryland
Health
&
Higher
Educational
Facilities
Authority
3.197
07/01/50
687,344‌
1,000,000
Massachusetts
School
Building
Authority
1.753
08/15/30
844,136‌
100,000
Massachusetts
School
Building
Authority
5.715
08/15/39
107,802‌
500,000
Massachusetts
School
Building
Authority
3.395
10/15/40
414,435‌
1,000,000
Massachusetts
Water
Resources
Authority
2.823
08/01/41
781,684‌
100,000
Metropolitan
Government
of
Nashville
&
Davidson
County
Convention
Center
Authority
6.731
07/01/43
114,491‌
200,000
Metropolitan
Government
of
Nashville
&
Davidson
County
Health
&
Educational
Facilities
4.053
07/01/26
190,958‌
940,000
Metropolitan
Transportation
Authority
6.648
11/15/39
995,255‌
1,150,000
Metropolitan
Transportation
Authority
7.336
11/15/39
1,434,046‌
335,000
Metropolitan
Transportation
Authority
5.175
11/15/49
306,362‌
350,000
Michigan
Finance
Authority
3.384
12/01/40
283,915‌
570,000
Michigan
State
Building
Authority
2.705
10/15/40
433,253‌
235,000
Michigan
State
University
4.496
08/15/48
213,003‌
1,000,000
Michigan
State
University
4.165
08/15/22
792,356‌
770,000
Michigan
Strategic
Fund
3.225
09/01/47
591,588‌
500,000
Missouri
Highway
&
Transportation
Commission
5.445
05/01/33
515,323‌
238,000
Municipal
Electric
Authority
of
Georgia
6.637
04/01/57
272,300‌
474,000
Municipal
Electric
Authority
of
Georgia
6.655
04/01/57
544,079‌
947,000
New
Jersey
Economic
Development
Authority
7.425
02/15/29
1,018,177‌
1,335,000
New
Jersey
State
Turnpike
Authority
7.414
01/01/40
1,675,412‌
1,000,000
New
Jersey
State
Turnpike
Authority
7.102
01/01/41
1,220,643‌
800,000
New
Jersey
Transportation
Trust
Fund
Authority
5.754
12/15/28
808,162‌
2,385,000
New
York
City
Municipal
Water
Finance
Authority
5.440
06/15/43
2,559,359‌
955,000
New
York
City
Transitional
Finance
Authority
Future
Tax
Secured
Revenue
5.767
08/01/36
1,004,521‌
1,000,000
New
York
State
Dormitory
Authority
2.202
03/15/34
787,471‌
130,000
New
York
State
Dormitory
Authority
5.628
03/15/39
135,607‌
545,000
New
York
State
Dormitory
Authority
5.600
03/15/40
578,647‌
500,000
New
York
State
Dormitory
Authority
3.142
07/01/43
405,858‌
200,000
New
York
State
Dormitory
Authority
4.946
08/01/48
180,610‌
500,000
New
York
State
Thruway
Authority
2.900
01/01/35
423,605‌
110,000
New
York
State
Thruway
Authority
3.500
01/01/42
91,778‌
1,000,000
New
York
State
Urban
Development
Corp
3.900
03/15/33
935,938‌
2,000,000
North
Texas
Tollway
Authority
3.011
01/01/43
1,517,189‌
1,000,000
North
Texas
Tollway
Authority
6.718
01/01/49
1,244,532‌
605,000
Ohio
Turnpike
&
Infrastructure
Commission
3.216
02/15/48
444,236‌
694,364
Oklahoma
Development
Finance
Authority
3.877
05/01/37
671,438‌
500,000
Oklahoma
Development
Finance
Authority
4.623
06/01/44
480,095‌
750,000
Oklahoma
Development
Finance
Authority
4.380
11/01/45
699,824‌
250,000
Oklahoma
Development
Finance
Authority
4.714
05/01/52
241,300‌
135
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MUNICIPAL
BONDS—continued
$
512,054
Oregon
School
Boards
Association
4.759
%
06/30/28
$
504,426‌
250,000
Oregon
School
Boards
Association
5.680
06/30/28
254,871‌
1,000,000
Oregon
State
University
3.424
03/01/60
744,971‌
500,000
Pennsylvania
State
University
2.790
09/01/43
381,483‌
205,000
Pennsylvania
State
University
2.840
09/01/50
147,609‌
300,000
Permanent
University
Fund-Texas
A&M
University
System
3.660
07/01/47
251,668‌
200,000
Permanent
University
Fund-University
of
Texas
System
3.376
07/01/47
162,884‌
560,000
Port
Authority
of
New
York
&
New
Jersey
1.086
07/01/23
560,000‌
1,215,000
Port
Authority
of
New
York
&
New
Jersey
6.040
12/01/29
1,300,070‌
500,000
Port
Authority
of
New
York
&
New
Jersey
5.647
11/01/40
538,033‌
300,000
Port
Authority
of
New
York
&
New
Jersey
4.823
06/01/45
286,053‌
1,000,000
Port
Authority
of
New
York
&
New
Jersey
5.310
08/01/46
1,002,705‌
200,000
Port
Authority
of
New
York
&
New
Jersey
4.031
09/01/48
176,558‌
900,000
Port
Authority
of
New
York
&
New
Jersey
3.139
02/15/51
676,763‌
400,000
Port
Authority
of
New
York
&
New
Jersey
4.229
10/15/57
358,286‌
1,600,000
Port
Authority
of
New
York
&
New
Jersey
3.175
07/15/60
1,138,593‌
2,200,000
Port
Authority
of
New
York
&
New
Jersey
4.810
10/15/65
2,146,328‌
250,000
Port
Authority
of
New
York
&
New
Jersey
3.287
08/01/69
173,551‌
1,000,000
Port
of
Morrow
OR
2.543
09/01/40
746,716‌
220,000
Princeton
University
5.700
03/01/39
247,273‌
1,000,000
Regents
of
the
University
of
California
Medical
Center
Pooled
Revenue
4.132
05/15/32
951,658‌
750,000
Regents
of
the
University
of
California
Medical
Center
Pooled
Revenue
3.006
05/15/50
528,892‌
1,500,000
Regents
of
the
University
of
California
Medical
Center
Pooled
Revenue
4.563
05/15/53
1,396,320‌
750,000
Regents
of
the
University
of
California
Medical
Center
Pooled
Revenue
3.256
05/15/60
528,396‌
750,000
Regents
of
the
University
of
California
Medical
Center
Pooled
Revenue
3.706
05/15/20
503,454‌
500,000
Rutgers
The
State
University
of
New
Jersey
3.270
05/01/43
399,336‌
500,000
Rutgers
The
State
University
of
New
Jersey
3.915
05/01/19
361,677‌
190,000
Sales
Tax
Securitization
Corp
4.637
01/01/40
181,591‌
1,125,000
Sales
Tax
Securitization
Corp
3.238
01/01/42
899,757‌
200,000
Sales
Tax
Securitization
Corp
3.587
01/01/43
168,102‌
1,000,000
Sales
Tax
Securitization
Corp
3.820
01/01/48
806,253‌
200,000
Sales
Tax
Securitization
Corp
4.787
01/01/48
186,261‌
100,000
Salt
River
Project
Agricultural
Improvement
&
Power
District
4.839
01/01/41
99,041‌
435,000
San
Diego
County
Regional
Transportation
Commission
3.248
04/01/48
336,684‌
500,000
San
Diego
County
Water
Authority
6.138
05/01/49
565,990‌
1,000,000
San
Joaquin
Hills
Transportation
Corridor
Agency
3.492
01/15/50
784,850‌
100,000
San
Jose
Redevelopment
Agency
3.375
08/01/34
89,118‌
750,000
Santa
Clara
Valley
Transportation
Authority
5.876
04/01/32
784,561‌
270,000
South
Carolina
Public
Service
Authority
2.388
12/01/23
266,457‌
750,000
State
Board
of
Administration
Finance
Corp
1.258
07/01/25
692,708‌
750,000
State
Board
of
Administration
Finance
Corp
1.705
07/01/27
664,399‌
400,000
State
Board
of
Administration
Finance
Corp
2.154
07/01/30
333,824‌
200,000
State
of
California
3.375
04/01/25
193,552‌
200,000
State
of
California
3.500
04/01/28
190,016‌
1,000,000
State
of
California
6.000
03/01/33
1,100,115‌
300,000
State
of
California
4.500
04/01/33
295,550‌
250,000
State
of
California
7.500
04/01/34
304,891‌
1,000,000
State
of
California
5.125
03/01/38
1,006,567‌
225,000
State
of
California
4.600
04/01/38
216,107‌
1,285,000
State
of
California
7.550
04/01/39
1,622,067‌
3,400,000
State
of
California
7.300
10/01/39
4,112,858‌
2,740,000
State
of
California
7.625
03/01/40
3,450,776‌
1,500,000
State
of
California
7.600
11/01/40
1,919,048‌
595,000
State
of
California
5.200
03/01/43
589,773‌
620,000
State
of
Connecticut
5.850
03/15/32
660,002‌
Bond
Index
Fund
June
30,
2023
136
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MUNICIPAL
BONDS—continued
$
5,950,000
State
of
Illinois
5.100
%
06/01/33
$
5,853,255‌
1,195,385
State
of
Illinois
6.725
04/01/35
1,256,331‌
500,000
State
of
Kansas
Department
of
Transportation
4.596
09/01/35
491,303‌
2,000,000
State
of
Louisiana
Gasoline
&
Fuels
Tax
Revenue
2.952
05/01/41
1,544,738‌
85,000
State
of
Oregon
5.892
06/01/27
86,733‌
100,000
State
of
Oregon
Department
of
Transportation
5.834
11/15/34
109,993‌
600,000
State
of
Texas
4.631
04/01/33
597,559‌
50,000
State
of
Texas
5.517
04/01/39
53,686‌
1,000,000
State
of
Texas
4.681
04/01/40
1,010,302‌
367,033
State
of
Utah
3.539
07/01/25
360,064‌
200,000
State
of
Washington
5.090
08/01/33
205,465‌
200,000
State
of
Wisconsin
3.154
05/01/27
188,482‌
200,000
State
of
Wisconsin
3.954
05/01/36
185,804‌
604,000
State
Public
School
Building
Authority
5.000
09/15/27
600,313‌
100,000
Sumter
Landing
Community
Development
District
4.172
10/01/47
89,952‌
1,000,000
Texas
Natural
Gas
Securitization
Finance
Corp
5.102
04/01/35
1,004,631‌
785,000
Texas
Natural
Gas
Securitization
Finance
Corp
5.169
04/01/41
809,431‌
430,000
Texas
Private
Activity
Bond
Surface
Transportation
Corp
3.922
12/31/49
349,780‌
1,000,000
Texas
Transportation
Commission
2.562
04/01/42
762,855‌
1,000,000
Texas
Transportation
Commission
2.472
10/01/44
710,416‌
440,000
Texas
Transportation
Commission
State
Highway
Fund
5.028
04/01/26
439,937‌
1,190,000
Texas
Transportation
Commission
State
Highway
Fund
5.178
04/01/30
1,205,847‌
560,000
Texas
Transportation
Commission
State
Highway
Fund
4.000
10/01/33
532,320‌
100,000
The
Ohio
State
University
4.910
06/01/40
99,645‌
500,000
The
Ohio
State
University
3.798
12/01/46
416,711‌
200,000
The
Ohio
State
University
4.048
12/01/56
167,972‌
1,000,000
Trustees
of
the
University
of
Pennsylvania
2.396
10/01/50
652,059‌
100,000
Trustees
of
the
University
of
Pennsylvania
4.674
09/01/12
89,107‌
500,000
Trustees
of
the
University
of
Pennsylvania
3.610
02/15/19
348,749‌
1,000,000
University
of
California
0.883
05/15/25
926,122‌
200,000
University
of
California
3.063
07/01/25
192,575‌
1,000,000
University
of
California
1.316
05/15/27
887,286‌
500,000
University
of
California
3.349
07/01/29
463,876‌
1,000,000
University
of
California
1.614
05/15/30
821,971‌
200,000
University
of
California
5.770
05/15/43
216,699‌
200,000
University
of
California
3.931
05/15/45
181,598‌
200,000
University
of
California
4.131
05/15/45
180,888‌
1,500,000
University
of
California
5.946
05/15/45
1,638,953‌
1,500,000
University
of
California
3.071
05/15/51
1,062,635‌
860,000
University
of
California
4.858
05/15/12
766,723‌
200,000
University
of
California
4.767
05/15/15
174,968‌
500,000
University
of
Chicago
2.761
04/01/45
373,585‌
300,000
University
of
Chicago
4.003
10/01/53
262,775‌
750,000
University
of
Michigan
2.437
04/01/40
567,222‌
1,000,000
University
of
Michigan
3.599
04/01/47
872,336‌
500,000
University
of
Michigan
2.562
04/01/50
336,745‌
750,000
University
of
Michigan
3.504
04/01/52
605,950‌
500,000
University
of
Michigan
3.504
04/01/52
403,966‌
750,000
University
of
Michigan
4.454
04/01/22
652,516‌
1,500,000
University
of
Minnesota
4.048
04/01/52
1,328,717‌
500,000
University
of
Nebraska
Facilities
Corp
3.037
10/01/49
384,932‌
200,000
University
of
Notre
Dame
du
Lac
3.438
02/15/45
164,271‌
200,000
University
of
Notre
Dame
du
Lac
3.394
02/15/48
163,588‌
300,000
University
of
Southern
California
3.028
10/01/39
241,444‌
200,000
University
of
Southern
California
3.841
10/01/47
174,168‌
500,000
University
of
Southern
California
2.805
10/01/50
344,147‌
200,000
e
University
of
Southern
California
5.250
10/01/11
201,270‌
200,000
University
of
Texas
System
3.852
08/15/46
176,398‌
700,000
University
of
Texas
System
4.794
08/15/46
707,668‌
750,000
University
of
Texas
System
2.439
08/15/49
497,861‌
1,000,000
University
of
Virginia
2.256
09/01/50
623,184‌
137
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MUNICIPAL
BONDS—continued
$
1,600,000
University
of
Virginia
2.584
%
11/01/51
$
1,067,170‌
500,000
University
of
Virginia
3.227
09/01/19
314,425‌
150,000
Virginia
Commonwealth
Transportation
Board
5.350
05/15/35
153,680‌
750,000
Westchester
County
Local
Development
Corp
3.846
11/01/50
539,874‌
200,000
William
Marsh
Rice
University
3.574
05/15/45
167,588‌
200,000
William
Marsh
Rice
University
3.774
05/15/55
168,924‌
TOTAL
MUNICIPAL
BONDS
163,004,519‌
U.S.
TREASURY
SECURITIES
-
40.3%
21,250,000
United
States
Treasury
Bond
4.500
02/15/36
22,932,568‌
22,400,000
United
States
Treasury
Bond
5.000
05/15/37
25,363,625‌
179,483,000
United
States
Treasury
Bond
3.500
02/15/39
171,939,105‌
2,000,000
United
States
Treasury
Bond
4.500
08/15/39
2,149,844‌
44,850,000
United
States
Treasury
Bond
4.375
11/15/39
47,484,937‌
17,585,000
United
States
Treasury
Bond
3.875
08/15/40
17,448,304‌
11,185,000
United
States
Treasury
Bond
4.250
11/15/40
11,631,526‌
26,350,000
United
States
Treasury
Bond
4.375
05/15/41
27,730,287‌
10,000,000
United
States
Treasury
Bond
3.750
08/15/41
9,658,984‌
48,300,000
United
States
Treasury
Bond
3.125
11/15/41
42,532,301‌
18,550,000
United
States
Treasury
Bond
3.125
02/15/42
16,305,160‌
22,000,000
United
States
Treasury
Bond
3.000
05/15/42
18,909,687‌
20,000,000
United
States
Treasury
Bond
2.750
08/15/42
16,479,688‌
10,250,000
United
States
Treasury
Bond
2.875
05/15/43
8,573,564‌
16,000,000
United
States
Treasury
Bond
2.500
02/15/45
12,387,500‌
22,000,000
United
States
Treasury
Bond
3.000
05/15/45
18,580,547‌
16,000,000
United
States
Treasury
Bond
2.875
08/15/45
13,203,125‌
27,000,000
United
States
Treasury
Bond
2.500
05/15/46
20,761,523‌
13,300,000
United
States
Treasury
Bond
2.875
11/15/46
10,961,590‌
28,000,000
United
States
Treasury
Bond
3.000
02/15/47
23,574,687‌
30,000,000
United
States
Treasury
Bond
2.750
08/15/47
24,131,250‌
45,000,000
United
States
Treasury
Bond
2.750
11/15/47
36,195,117‌
38,500,000
United
States
Treasury
Bond
3.000
02/15/48
32,461,816‌
48,500,000
United
States
Treasury
Bond
3.125
05/15/48
41,836,934‌
35,500,000
United
States
Treasury
Bond
3.000
08/15/48
29,950,352‌
35,000,000
United
States
Treasury
Bond
3.375
11/15/48
31,629,883‌
82,500,000
United
States
Treasury
Bond
3.000
02/15/49
69,767,285‌
10,500,000
United
States
Treasury
Bond
2.875
05/15/49
8,678,496‌
7,500,000
United
States
Treasury
Bond
2.250
08/15/49
5,448,926‌
8,615,000
United
States
Treasury
Bond
2.375
11/15/49
6,432,646‌
30,000,000
United
States
Treasury
Note
0.250
05/15/24
28,686,328‌
111,500,000
United
States
Treasury
Note
2.000
05/31/24
108,085,313‌
152,000,000
United
States
Treasury
Note
1.750
06/30/24
146,602,813‌
212,000,000
United
States
Treasury
Note
1.750
07/31/24
203,900,939‌
20,000,000
United
States
Treasury
Note
0.375
08/15/24
18,921,875‌
22,000,000
United
States
Treasury
Note
1.250
08/31/24
20,983,359‌
62,000,000
United
States
Treasury
Note
3.250
08/31/24
60,510,547‌
81,000,000
United
States
Treasury
Note
1.500
09/30/24
77,285,390‌
90,500,000
United
States
Treasury
Note
1.500
10/31/24
86,109,336‌
40,005,000
United
States
Treasury
Note
2.250
11/15/24
38,417,302‌
61,900,000
United
States
Treasury
Note
1.500
11/30/24
58,771,148‌
35,000,000
United
States
Treasury
Note
4.500
11/30/24
34,628,125‌
75,000,000
United
States
Treasury
Note
1.750
12/31/24
71,302,734‌
40,000,000
United
States
Treasury
Note
2.250
12/31/24
38,300,000‌
13,000,000
United
States
Treasury
Note
1.375
01/31/25
12,260,117‌
30,000,000
United
States
Treasury
Note
4.125
01/31/25
29,528,906‌
40,000,000
United
States
Treasury
Note
1.125
02/28/25
37,492,188‌
73,000,000
United
States
Treasury
Note
0.500
03/31/25
67,525,000‌
8,000,000
United
States
Treasury
Note
2.625
03/31/25
7,679,062‌
32,000,000
United
States
Treasury
Note
3.875
03/31/25
31,371,250‌
10,000,000
United
States
Treasury
Note
2.625
04/15/25
9,592,188‌
50,000,000
United
States
Treasury
Note
0.375
04/30/25
46,003,906‌
Bond
Index
Fund
June
30,
2023
138
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
U.S.
TREASURY
SECURITIES—continued
$
119,000,000
United
States
Treasury
Note
0.250
%
06/30/25
$
108,680,469‌
98,500,000
United
States
Treasury
Note
0.250
07/31/25
89,631,153‌
54,000,000
United
States
Treasury
Note
0.250
08/31/25
48,992,343‌
20,000,000
United
States
Treasury
Note
2.750
08/31/25
19,157,812‌
50,000,000
United
States
Treasury
Note
0.250
09/30/25
45,287,109‌
30,000,000
United
States
Treasury
Note
3.000
09/30/25
28,873,828‌
97,000,000
United
States
Treasury
Note
0.250
10/31/25
87,542,500‌
30,000,000
United
States
Treasury
Note
2.250
11/15/25
28,342,969‌
265,000,000
United
States
Treasury
Note
0.375
11/30/25
239,203,906‌
50,000,000
United
States
Treasury
Note
0.375
12/31/25
45,068,359‌
126,000,000
United
States
Treasury
Note
0.375
01/31/26
113,124,375‌
137,000,000
United
States
Treasury
Note
0.500
02/28/26
123,064,531‌
30,000,000
United
States
Treasury
Note
4.625
03/15/26
30,032,813‌
90,000,000
United
States
Treasury
Note
0.750
03/31/26
81,344,531‌
50,000,000
United
States
Treasury
Note
2.250
03/31/26
47,048,828‌
120,000,000
United
States
Treasury
Note
0.750
04/30/26
108,056,250‌
30,000,000
United
States
Treasury
Note
1.625
05/15/26
27,680,859‌
165,000,000
United
States
Treasury
Note
0.750
05/31/26
148,209,961‌
135,000,000
United
States
Treasury
Note
0.875
06/30/26
121,637,109‌
85,000,000
United
States
Treasury
Note
0.625
07/31/26
75,726,367‌
115,000,000
United
States
Treasury
Note
0.750
08/31/26
102,565,625‌
60,000,000
United
States
Treasury
Note
0.875
09/30/26
53,681,250‌
71,000,000
United
States
Treasury
Note
1.625
09/30/26
65,039,883‌
170,000,000
United
States
Treasury
Note
1.125
10/31/26
152,867,188‌
10,000,000
United
States
Treasury
Note
1.625
10/31/26
9,145,313‌
115,000,000
United
States
Treasury
Note
1.250
11/30/26
103,612,304‌
81,000,000
United
States
Treasury
Note
1.250
12/31/26
72,900,000‌
89,500,000
United
States
Treasury
Note
1.750
12/31/26
81,972,910‌
72,000,000
United
States
Treasury
Note
1.500
01/31/27
65,219,062‌
87,000,000
United
States
Treasury
Note
1.875
02/28/27
79,747,734‌
97,000,000
United
States
Treasury
Note
2.500
03/31/27
90,903,399‌
11,000,000
United
States
Treasury
Note
2.750
04/30/27
10,391,133‌
40,000,000
United
States
Treasury
Note
2.625
05/31/27
37,584,375‌
5,000,000
United
States
Treasury
Note
0.500
06/30/27
4,310,938‌
96,000,000
United
States
Treasury
Note
3.250
06/30/27
92,325,000‌
111,000,000
United
States
Treasury
Note
2.750
07/31/27
104,647,852‌
46,000,000
United
States
Treasury
Note
2.250
08/15/27
42,523,047‌
48,000,000
United
States
Treasury
Note
3.125
08/31/27
45,905,625‌
58,000,000
United
States
Treasury
Note
4.125
09/30/27
57,676,015‌
163,000,000
United
States
Treasury
Note
4.125
10/31/27
162,146,796‌
75,000,000
United
States
Treasury
Note
0.625
11/30/27
64,233,398‌
128,500,000
United
States
Treasury
Note
3.875
11/30/27
126,677,910‌
37,000,000
United
States
Treasury
Note
3.875
12/31/27
36,481,133‌
54,000,000
United
States
Treasury
Note
3.500
01/31/28
52,436,953‌
48,800,000
United
States
Treasury
Note
2.750
02/15/28
45,862,469‌
86,000,000
United
States
Treasury
Note
4.000
02/29/28
85,365,078‌
14,500,000
United
States
Treasury
Note
3.625
03/31/28
14,162,422‌
14,000,000
United
States
Treasury
Note
3.500
04/30/28
13,604,063‌
66,000,000
United
States
Treasury
Note
2.875
05/15/28
62,274,610‌
116,000,000
United
States
Treasury
Note
3.625
05/31/28
113,462,500‌
20,000,000
United
States
Treasury
Note
1.250
06/30/28
17,409,375‌
75,000,000
United
States
Treasury
Note
4.000
06/30/28
74,589,844‌
50,000,000
United
States
Treasury
Note
1.125
08/31/28
43,080,078‌
10,000,000
United
States
Treasury
Note
1.375
10/31/28
8,700,000‌
85,000,000
United
States
Treasury
Note
3.125
11/15/28
80,972,461‌
70,000,000
United
States
Treasury
Note
1.500
11/30/28
61,228,125‌
50,000,000
United
States
Treasury
Note
1.750
01/31/29
44,199,219‌
50,000,000
United
States
Treasury
Note
2.625
02/15/29
46,330,078‌
50,000,000
United
States
Treasury
Note
2.375
03/31/29
45,648,438‌
30,000,000
United
States
Treasury
Note
2.875
04/30/29
28,132,031‌
92,000,000
United
States
Treasury
Note
2.375
05/15/29
83,878,125‌
139
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
U.S.
TREASURY
SECURITIES—continued
$
50,000,000
United
States
Treasury
Note
2.750
%
05/31/29
$
46,550,781‌
22,000,000
United
States
Treasury
Note
1.625
08/15/29
19,183,828‌
44,000,000
United
States
Treasury
Note
4.000
10/31/29
43,884,844‌
50,000,000
United
States
Treasury
Note
3.875
11/30/29
49,546,875‌
80,000,000
United
States
Treasury
Note
3.500
01/31/30
77,628,125‌
117,000,000
United
States
Treasury
Note
1.500
02/15/30
100,208,672‌
50,000,000
United
States
Treasury
Note
4.000
02/28/30
49,964,844‌
50,000,000
United
States
Treasury
Note
3.625
03/31/30
48,910,156‌
42,000,000
United
States
Treasury
Note
3.500
04/30/30
40,779,375‌
50,000,000
United
States
Treasury
Note
0.625
05/15/30
40,054,688‌
49,000,000
United
States
Treasury
Note
3.750
05/31/30
48,318,594‌
75,000,000
United
States
Treasury
Note
3.750
06/30/30
74,003,906‌
37,000,000
United
States
Treasury
Note
0.625
08/15/30
29,477,149‌
64,000,000
United
States
Treasury
Note
0.875
11/15/30
51,790,000‌
30,000,000
United
States
Treasury
Note
1.125
02/15/31
24,670,313‌
121,000,000
United
States
Treasury
Note
1.625
05/15/31
102,826,367‌
39,000,000
United
States
Treasury
Note
1.250
08/15/31
32,004,375‌
18,200,000
United
States
Treasury
Note
1.375
11/15/31
15,007,180‌
48,500,000
United
States
Treasury
Note
1.875
02/15/32
41,543,281‌
41,000,000
United
States
Treasury
Note
2.875
05/15/32
38,014,688‌
60,500,000
United
States
Treasury
Note
2.750
08/15/32
55,463,848‌
18,000,000
United
States
Treasury
Note
4.125
11/15/32
18,393,750‌
4,000,000
United
States
Treasury
Note
3.500
02/15/33
3,896,250‌
120,500,000
United
States
Treasury
Note
3.375
05/15/33
116,207,188‌
57,000,000
United
States
Treasury
Note
1.125
05/15/40
36,949,805‌
32,500,000
United
States
Treasury
Note
1.125
08/15/40
20,896,484‌
127,500,000
United
States
Treasury
Note
1.375
11/15/40
85,305,469‌
76,500,000
United
States
Treasury
Note
1.875
02/15/41
55,555,137‌
76,000,000
United
States
Treasury
Note
2.250
05/15/41
58,531,875‌
70,000,000
United
States
Treasury
Note
1.750
08/15/41
49,177,734‌
21,150,000
United
States
Treasury
Note
2.000
11/15/41
15,481,635‌
13,500,000
United
States
Treasury
Note
2.375
02/15/42
10,510,488‌
5,500,000
United
States
Treasury
Note
3.250
05/15/42
4,907,891‌
70,000,000
United
States
Treasury
Note
3.375
08/15/42
63,538,672‌
62,300,000
United
States
Treasury
Note
4.000
11/15/42
61,900,891‌
40,300,000
United
States
Treasury
Note
3.875
02/15/43
39,292,500‌
83,000,000
e
United
States
Treasury
Note
3.875
05/15/43
80,989,844‌
35,850,000
United
States
Treasury
Note
1.250
05/15/50
20,158,623‌
28,000,000
United
States
Treasury
Note
1.375
08/15/50
16,269,531‌
68,500,000
United
States
Treasury
Note
1.625
11/15/50
42,539,570‌
50,000,000
United
States
Treasury
Note
1.875
02/15/51
33,107,422‌
52,500,000
United
States
Treasury
Note
2.375
05/15/51
39,032,519‌
44,575,000
United
States
Treasury
Note
2.000
08/15/51
30,385,872‌
47,500,000
United
States
Treasury
Note
1.875
11/15/51
31,353,711‌
45,000,000
United
States
Treasury
Note
2.250
02/15/52
32,519,531‌
29,000,000
United
States
Treasury
Note
2.875
05/15/52
24,032,617‌
30,000,000
United
States
Treasury
Note
3.000
08/15/52
25,507,031‌
55,250,000
United
States
Treasury
Note
4.000
11/15/52
56,752,109‌
34,600,000
United
States
Treasury
Note
3.625
02/15/53
33,205,187‌
77,500,000
United
States
Treasury
Note
3.625
05/15/53
74,484,766‌
TOTAL
U.S.
TREASURY
SECURITIES
8,470,414,905‌
TOTAL
GOVERNMENT
BONDS
15,130,414,342‌
(Cost
$16,938,312,159)
STRUCTURED
ASSETS
-
2.2%
ASSET
BACKED
-
0.6%
133,680
American
Airlines
Pass
Through
Trust
3.600
09/22/27
124,250‌
Series
-
2015
2
(Class
AA)
138,127
American
Airlines
Pass
Through
Trust
3.575
01/15/28
127,910‌
Series
-
2016
1
(Class
AA)
Bond
Index
Fund
June
30,
2023
140
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
400,775
American
Airlines
Pass
Through
Trust
3.200
%
06/15/28
$
358,844‌
Series
-
2016
2
(Class
AA)
575,266
American
Airlines
Pass
Through
Trust
3.000
10/15/28
509,685‌
Series
-
2016
3
(Class
AA)
213,000
American
Airlines
Pass
Through
Trust
3.650
02/15/29
196,018‌
Series
-
2017
1
(Class
AA)
627,964
American
Airlines
Pass
Through
Trust
3.150
02/15/32
546,652‌
Series
-
2019
1
(Class
AA)
1,600,000
American
Express
Credit
Account
Master
Trust
0.900
11/15/26
1,501,852‌
Series
-
2021
1
(Class
A)
3,000,000
American
Express
Credit
Account
Master
Trust
3.390
05/17/27
2,895,178‌
Series
-
2022
2
(Class
A)
3,000,000
American
Express
Credit
Account
Master
Trust
3.750
08/15/27
2,908,513‌
Series
-
2022
3
(Class
A)
1,500,000
American
Express
Credit
Account
Master
Trust
4.870
05/15/28
1,491,145‌
Series
-
2023
1
(Class
A)
1,000,000
American
Express
Credit
Account
Master
Trust
4.800
05/15/30
990,079‌
Series
-
2023
2
(Class
A)
500,000
AmeriCredit
Automobile
Receivables
Trust
1.060
08/18/26
470,722‌
Series
-
2020
3
(Class
C)
1,500,000
AmeriCredit
Automobile
Receivables
Trust
0.680
10/19/26
1,448,298‌
Series
-
2021
1
(Class
B)
1,000,000
AmeriCredit
Automobile
Receivables
Trust
0.890
10/19/26
928,402‌
Series
-
2021
1
(Class
C)
500,000
AmeriCredit
Automobile
Receivables
Trust
0.690
01/19/27
471,990‌
Series
-
2021
2
(Class
B)
500,000
AmeriCredit
Automobile
Receivables
Trust
1.010
01/19/27
456,859‌
Series
-
2021
2
(Class
C)
2,500,000
BA
Credit
Card
Trust
0.340
05/15/26
2,441,825‌
Series
-
2020
A1
(Class
A1)
960,000
BA
Credit
Card
Trust
0.440
09/15/26
922,038‌
Series
-
2021
A1
(Class
A1)
2,450,000
Barclays
Dryrock
Issuance
Trust
0.630
07/15/27
2,302,946‌
Series
-
2021
1
(Class
A)
1,000,000
BMW
Vehicle
Lease
Trust
0.430
01/27/25
972,591‌
Series
-
2021
2
(Class
A4)
10,000,000
Cantor
Commercial
Real
Estate
Lending
3.523
05/15/52
8,870,230‌
Series
-
2019
CF1
(Class
A4)
6,000,000
Cantor
Commercial
Real
Estate
Lending
3.623
05/15/52
5,691,167‌
Series
-
2019
CF1
(Class
A2)
2,000,000
Capital
One
MExecution
Trust
1.040
11/15/26
1,881,960‌
Series
-
2021
A3
(Class
A3)
3,000,000
Capital
One
MExecution
Trust
3.490
05/15/27
2,899,854‌
Series
-
2022
A2
(Class
A)
2,500,000
Capital
One
Multi-Asset
Execution
Trust
2.060
08/15/28
2,283,991‌
Series
-
2019
A3
(Class
A3)
203,563
CarMax
Auto
Owner
Trust
0.500
08/15/25
198,934‌
Series
-
2020
4
(Class
A3)
1,322,718
CarMax
Auto
Owner
Trust
0.520
02/17/26
1,278,320‌
Series
-
2021
2
(Class
A3)
500,000
CarMax
Auto
Owner
Trust
0.530
10/15/26
463,790‌
Series
-
2021
1
(Class
A4)
900,000
CarMax
Auto
Owner
Trust
0.740
10/15/26
820,989‌
Series
-
2021
1
(Class
B)
1,000,000
CarMax
Auto
Owner
Trust
1.470
12/15/26
957,541‌
Series
-
2022
1
(Class
A3)
700,000
CarMax
Auto
Owner
Trust
2.200
11/15/27
639,590‌
Series
-
2022
1
(Class
C)
500,000
Carvana
Auto
Receivables
Trust
3.000
02/10/28
449,875‌
Series
-
2022
P1
(Class
B)
141
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
1,000,000
Carvana
Auto
Receivables
Trust
3.520
%
02/10/28
$
936,666‌
Series
-
2022
P1
(Class
A4)
500,000
Carvana
Auto
Receivables
Trust
3.300
04/10/28
445,576‌
Series
-
2022
P1
(Class
C)
1,000,000
Chase
Issuance
Trust
3.970
09/15/27
974,240‌
Series
-
2022
A1
(Class
A)
311,402
CNH
Equipment
Trust
0.440
08/17/26
296,743‌
Series
-
2021
B
(Class
A3)
1,000,000
CNH
Equipment
Trust
0.700
05/17/27
902,523‌
Series
-
2021
B
(Class
A4)
300,000
CNH
Equipment
Trust
5.150
04/17/28
298,829‌
Series
-
2022
C
(Class
A3)
105,418
Continental
Airlines
Pass
Through
Trust
4.000
10/29/24
102,055‌
Series
-
2012
2
(Class
A)
84,172
Delta
Air
Lines
Pass
Through
Trust
3.625
07/30/27
76,632‌
Series
-
2015
1
(Class
AA)
246,185
Delta
Air
Lines
Pass
Through
Trust
2.000
06/10/28
216,724‌
Series
-
2020
1
(Class
AA)
1,500,000
Discover
Card
Execution
Note
Trust
0.580
09/15/26
1,411,833‌
Series
-
2021
A1
(Class
A1)
1,000,000
Discover
Card
Execution
Note
Trust
3.560
07/15/27
966,046‌
Series
-
2022
A3
(Class
A3)
1,500,000
Discover
Card
Execution
Note
Trust
5.030
10/15/27
1,492,350‌
Series
-
2022
A4
(Class
A)
1,500,000
Discover
Card
Execution
Note
Trust
4.930
06/15/28
1,493,958‌
Series
-
2023
A2
(Class
A)
1,500,000
Discover
Card
Execution
Note
Trust
1.030
09/15/28
1,319,612‌
Series
-
2021
A2
(Class
A2)
543,495
Drive
Auto
Receivables
Trust
1.020
06/15/27
535,847‌
Series
-
2021
1
(Class
C)
1,500,000
Exeter
Automobile
Receivables
Trust
3.020
06/15/28
1,392,171‌
Series
-
2022
1A
(Class
D)
866,318
FedEx
Corp
Pass
Through
Trust
1.875
02/20/34
706,712‌
Series
-
2020
1
(Class
AA)
159,451
i
FHLMC
Multifamily
Structured
Pass
Through
Certificates
3.060
07/25/23
158,869‌
Series
-
2013
K033
(Class
A2)
721,293
i
FHLMC
Multifamily
Structured
Pass
Through
Certificates
3.531
07/25/23
718,703‌
Series
-
2013
K034
(Class
A2)
1,283,583
i
FHLMC
Multifamily
Structured
Pass
Through
Certificates
3.527
10/25/23
1,275,132‌
Series
-
2014
K036
(Class
A2)
2,708,857
FHLMC
Multifamily
Structured
Pass
Through
Certificates
3.023
01/25/25
2,613,268‌
Series
-
2015
K045
(Class
A2)
1,224,000
FHLMC
Multifamily
Structured
Pass
Through
Certificates
1.760
03/25/28
1,080,125‌
Series
-
2021
K742
(Class
A2)
749,000
FHLMC
Multifamily
Structured
Pass
Through
Certificates
1.369
04/25/28
643,170‌
Series
-
2021
K742
(Class
AM)
500,000
Ford
Credit
Auto
Owner
Trust
0.510
08/15/26
468,747‌
Series
-
2020
C
(Class
A4)
2,000,000
Ford
Credit
Auto
Owner
Trust
0.490
09/15/26
1,865,633‌
Series
-
2021
A
(Class
A4)
1,000,000
Ford
Credit
Auto
Owner
Trust
1.560
05/15/27
925,242‌
Series
-
2022
A
(Class
A4)
1,000,000
Ford
Credit
Auto
Owner
Trust
1.910
07/15/27
915,925‌
Series
-
2022
A
(Class
B)
850,000
Ford
Credit
Floorplan
Master
Owner
Trust
2.440
09/15/26
815,944‌
Series
-
2019
4
(Class
A)
Bond
Index
Fund
June
30,
2023
142
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
1,000,000
GM
Financial
Automobile
Leasing
Trust
4.110
%
08/20/26
$
976,570‌
Series
-
2022
3
(Class
A4)
43,922
GM
Financial
Consumer
Automobile
Receivables
Trust
1.490
12/16/24
43,707‌
Series
-
2020
2
(Class
A3)
170,885
GM
Financial
Consumer
Automobile
Receivables
Trust
0.380
08/18/25
167,616‌
Series
-
2020
4
(Class
A3)
323,630
GM
Financial
Consumer
Automobile
Receivables
Trust
0.350
10/16/25
315,558‌
Series
-
2021
1
(Class
A3)
500,000
GM
Financial
Consumer
Automobile
Receivables
Trust
0.500
02/17/26
473,252‌
Series
-
2020
4
(Class
A4)
664,901
GM
Financial
Consumer
Automobile
Receivables
Trust
0.510
04/16/26
642,621‌
Series
-
2021
2
(Class
A3)
680,000
GM
Financial
Consumer
Automobile
Receivables
Trust
1.260
11/16/26
649,542‌
Series
-
2022
1
(Class
A3)
1,000,000
GM
Financial
Leasing
Trust
1.010
07/21/25
997,085‌
Series
-
2021
1
(Class
D)
850,000
GM
Financial
Securitized
Term
1.510
04/17/28
775,924‌
Series
-
2022
1
(Class
A4)
1,000,000
Harley-Davidson
Motorcycle
Trust
3.060
02/15/27
971,602‌
Series
-
2022
A
(Class
A3)
1,000,000
Harley-Davidson
Motorcycle
Trust
3.260
01/15/30
955,038‌
Series
-
2022
A
(Class
A4)
1,000,000
Honda
Auto
Receivables
Owner
Trust
1.880
05/15/26
955,506‌
Series
-
2022
1
(Class
A3)
1,000,000
Honda
Auto
Receivables
Owner
Trust
0.550
08/16/27
936,194‌
Series
-
2021
2
(Class
A4)
1,000,000
Honda
Auto
Receivables
Owner
Trust
0.420
01/21/28
945,202‌
Series
-
2021
1
(Class
A4)
295,946
Hyundai
Auto
Receivables
Trust
0.380
09/15/25
288,185‌
Series
-
2021
A
(Class
A3)
1,000,000
Hyundai
Auto
Receivables
Trust
0.620
05/17/27
930,942‌
Series
-
2021
A
(Class
A4)
420,746
JetBlue
Pass
Through
Trust
2
.750
05/15/32
357,578‌
Series
-
2019
1
(Class
AA)
836,408
JetBlue
Pass
Through
Trust
4.000
11/15/32
761,745‌
Series
-
2020
1
(Class
A)
692,302
John
Deere
Owner
Trust
0.520
03/16/26
663,217‌
Series
-
2021
B
(Class
A3)
500,000
John
Deere
Owner
Trust
0.740
05/15/28
460,487‌
Series
-
2021
B
(Class
A4)
1,000,000
John
Deere
Owner
Trust
5.110
05/15/30
994,554‌
Series
-
2023
B
(Class
A4)
589,702
Mercedes-Benz
Auto
Lease
Trust
0.320
10/15/26
588,649‌
Series
-
2021
A
(Class
A4)
1,000,000
Mercedes-Benz
Auto
Receivables
Trust
5.250
02/15/29
1,003,914‌
Series
-
2022
1
(Class
A4)
1,000,000
MSWF
Commercial
Mortgage
Trust
5.472
05/15/56
1,003,296‌
Series
-
2023
1
(Class
A4)
1,000,000
Nissan
Auto
Lease
Trust
5.610
11/15/27
996,182‌
Series
-
2023
B
(Class
A4)
1,000,000
Nissan
Auto
Receivables
Owner
Trust
1.860
08/17/26
955,246‌
Series
-
2022
A
(Class
A3)
36,671
Santander
Drive
Auto
Receivables
Trust
1.010
01/15/26
36,525‌
Series
-
2020
4
(Class
C)
145,565
Santander
Drive
Auto
Receivables
Trust
0.750
02/17/26
144,376‌
Series
-
2021
1
(Class
C)
1,000,000
Santander
Drive
Auto
Receivables
Trust
4.430
03/15/27
980,230‌
Series
-
2022
5
(Class
B)
1,500,000
Santander
Drive
Auto
Receivables
Trust
1.350
07/15/27
1,417,557‌
Series
-
2021
2
(Class
D)
143
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
58,738
Spirit
Airlines
Pass
Through
Trust
4.100
%
04/01/28
$
53,096‌
Series
-
2015
1A
(Class
A1)
1,500,000
Synchrony
Card
Funding
LLC
3.860
07/15/28
1,454,637‌
Series
-
2022
A2
(Class
A)
500,000
Toyota
Auto
Receivables
Owner
Trust
0.470
01/15/26
478,649‌
Series
-
2020
D
(Class
A4)
500,000
Toyota
Auto
Receivables
Owner
Trust
2.930
09/15/26
483,699‌
Series
-
2022
B
(Class
A3)
1,500,000
Toyota
Auto
Receivables
Owner
Trust
0.530
10/15/26
1,385,951‌
Series
-
2021
B
(Class
A4)
500,000
Toyota
Auto
Receivables
Owner
Trust
3.110
08/16/27
473,612‌
Series
-
2022
B
(Class
A4)
145,064
Union
Pacific
Railroad
Co
Pass
Through
Trust
2.695
05/12/27
132,352‌
Series
-
2015
1
(Class
A)
253,906
United
Airlines
Pass
Through
Trust
4.150
04/11/24
249,535‌
Series
-
2012
1
(Class
A)
173,454
United
Airlines
Pass
Through
Trust
4.300
08/15/25
166,825‌
Series
-
2013
1
(Class
A)
171,250
United
Airlines
Pass
Through
Trust
4.875
01/15/26
163,450‌
Series
-
2020
1
(Class
B)
174,177
United
Airlines
Pass
Through
Trust
3.750
09/03/26
163,510‌
Series
-
2014
2
(Class
A)
1,796,708
United
Airlines
Pass
Through
Trust
5.875
10/15/27
1,781,279‌
Series
-
2020
A
(Class
A)
132,306
United
Airlines
Pass
Through
Trust
3.450
12/01/27
121,191‌
Series
-
2015
1
(Class
AA)
141,957
United
Airlines
Pass
Through
Trust
3.100
07/07/28
128,294‌
Series
-
2016
1
(Class
AA)
141,958
United
Airlines
Pass
Through
Trust
3.450
07/07/28
122,579‌
Series
-
2016
1
(Class
A)
283,704
United
Airlines
Pass
Through
Trust
2.875
10/07/28
249,872‌
Series
-
2016
2
(Class
AA)
1,176,496
United
Airlines
Pass
Through
Trust
3.500
03/01/30
1,060,382‌
Series
-
2018
1
(Class
AA)
300,033
United
Airlines
Pass
Through
Trust
4.150
08/25/31
274,835‌
Series
-
2019
1
(Class
AA)
214,749
United
Airlines
Pass
Through
Trust
2.700
05/01/32
179,859‌
Series
-
2019
2
(Class
AA)
4,410,000
Verizon
Master
Trust
0.500
05/20/27
4,209,661‌
Series
-
2021
1
(Class
A)
3,000,000
Verizon
Master
Trust
0.690
05/20/27
2,852,679‌
Series
-
2021
1
(Class
B)
815,000
Verizon
Master
Trust
0.890
05/20/27
775,742‌
Series
-
2021
1
(Class
C)
1,000,000
Volkswagen
Auto
Loan
Enhanced
Trust
5.010
01/22/30
996,745‌
Series
-
2023
1
(Class
A4)
1,013,756
World
Omni
Auto
Receivables
Trust
0.300
01/15/26
984,454‌
Series
-
2021
A
(Class
A3)
1,000,000
World
Omni
Auto
Receivables
Trust
0.690
06/15/27
914,733‌
Series
-
2021
B
(Class
A4)
500,000
World
Omni
Auto
Receivables
Trust
1.040
06/15/27
455,905‌
Series
-
2021
B
(Class
B)
500,000
World
Omni
Automobile
Lease
Securitization
Trust
0.750
11/16/26
482,011‌
Series
-
2021
A
(Class
B)
TOTAL
ASSET
BACKED
115,734,950‌
OTHER
MORTGAGE
BACKED
-
1.6%
2,500,000
BANK
1.650
12/15/53
1,936,162‌
Series
-
2020
BN30
(Class
A3)
1,500,000
BANK
1.925
12/15/53
1,158,153‌
Series
-
2020
BN30
(Class
A4)
Bond
Index
Fund
June
30,
2023
144
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
500,000
i
BANK
2.111
%
12/15/53
$
373,651‌
Series
-
2020
BN30
(Class
AS)
500,000
i
BANK
2.445
12/15/53
361,895‌
Series
-
2020
BN30
(Class
B)
2,000,000
BANK
1.771
02/15/54
1,586,451‌
Series
-
2021
BN31
(Class
A3)
1,000,000
BANK
2.036
02/15/54
797,663‌
Series
-
2021
BN31
(Class
A4)
500,000
i
BANK
2.211
02/15/54
384,510‌
Series
-
2021
BN31
(Class
AS)
500,000
i
BANK
2.383
02/15/54
355,640‌
Series
-
2021
BN31
(Class
B)
500,000
i
BANK
2.545
02/15/54
323,453‌
Series
-
2021
BN31
(Class
C)
2,000,000
BANK
3.538
11/15/54
1,837,105‌
Series
-
2017
BNK9
(Class
A4)
500,000
BANK
4.399
08/15/55
469,686‌
Series
-
2022
BNK43
(Class
A5)
500,000
i
BANK
5.404
08/15/55
419,816‌
Series
-
2022
BNK43
(Class
C)
800,000
BANK
5.203
02/15/56
797,116‌
Series
-
2023
BNK45
(Class
A5)
1,500,000
BANK
3.390
06/15/60
1,377,852‌
Series
-
2017
BNK5
(Class
A5)
4,607,348
BANK
3.641
02/15/61
4,398,292‌
Series
-
2018
BN10
(Class
ASB)
2,000,000
i
BANK
3.898
02/15/61
1,815,950‌
Series
-
2018
BN10
(Class
AS)
8,000,000
BANK
3.584
05/15/62
7,125,248‌
Series
-
2019
BN18
(Class
A4)
5,000,000
BANK
1.584
03/15/63
3,969,340‌
Series
-
2020
BN28
(Class
A3)
1,000,000
BANK
2.438
06/15/63
798,898‌
Series
-
2021
BN34
(Class
A5)
1,000,000
BANK
2.556
05/15/64
825,018‌
Series
-
2021
BN33
(Class
A5)
1,000,000
BANK
2.792
05/15/64
798,117‌
Series
-
2021
BN33
(Class
AS)
500,000
BANK
3.297
05/15/64
344,831‌
Series
-
2021
BN33
(Class
C)
1,000,000
g,i
BANK
2.500
06/15/64
507,751‌
Series
-
2021
BN35
(Class
D)
3,000,000
Barclays
Commercial
Mortgage
Trust
3.674
02/15/50
2,783,005‌
Series
-
2017
C1
(Class
A4)
12,500,000
Barclays
Commercial
Mortgage
Trust
2.690
02/15/53
11,562,635‌
Series
-
2020
C6
(Class
A2)
500,000
BBCMS
Mortgage
Trust
4.441
09/15/55
469,859‌
Series
-
2022
C17
(Class
A5)
500,000
h
BBCMS
Mortgage
Trust
5.310
07/15/56
503,501‌
Series
-
2023
C20
(Class
A4)
1,000,000
i
Benchmark
Mortgage
Trust
3.878
01/15/51
885,396‌
Series
-
2018
B1
(Class
AM)
524,414
Benchmark
Mortgage
Trust
3.976
07/15/51
522,468‌
Series
-
2018
B4
(Class
A2)
1,000,000
i
Benchmark
Mortgage
Trust
4.700
07/15/51
794,949‌
Series
-
2018
B4
(Class
C)
5,850,000
Benchmark
Mortgage
Trust
3.542
05/15/52
5,158,949‌
Series
-
2019
B11
(Class
A5)
1,000,000
i
Benchmark
Mortgage
Trust
2.944
02/15/53
823,814‌
Series
-
2020
B16
(Class
AM)
145
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
1,500,000
i
Benchmark
Mortgage
Trust
3.176
%
02/15/53
$
1,148,074‌
Series
-
2020
B16
(Class
B)
1,500,000
i
Benchmark
Mortgage
Trust
3.535
02/15/53
1,108,205‌
Series
-
2020
B16
(Class
C)
2,000,000
i
Benchmark
Mortgage
Trust
4.510
05/15/53
1,883,863‌
Series
-
2018
B7
(Class
A4)
5,000,000
Benchmark
Mortgage
Trust
1.925
07/15/53
3,913,036‌
Series
-
2020
B18
(Class
A5)
2,500,000
Benchmark
Mortgage
Trust
1.704
12/17/53
1,971,615‌
Series
-
2020
B21
(Class
A4)
2,500,000
Benchmark
Mortgage
Trust
1.978
12/17/53
1,973,752‌
Series
-
2020
B21
(Class
A5)
2,500,000
Benchmark
Mortgage
Trust
1.685
01/15/54
1,956,647‌
Series
-
2020
B22
(Class
A4)
1,500,000
Benchmark
Mortgage
Trust
1.973
01/15/54
1,176,468‌
Series
-
2020
B22
(Class
A5)
1,500,000
Benchmark
Mortgage
Trust
2.163
01/15/54
1,153,533‌
Series
-
2020
B22
(Class
AM)
2,000,000
Benchmark
Mortgage
Trust
1.620
02/15/54
1,765,606‌
Series
-
2021
B23
(Class
A2)
1,500,000
Benchmark
Mortgage
Trust
1.823
02/15/54
1,146,699‌
Series
-
2021
B23
(Class
A4A1)
1,500,000
Benchmark
Mortgage
Trust
2.070
02/15/54
1,156,110‌
Series
-
2021
B23
(Class
A5)
500,000
Benchmark
Mortgage
Trust
2.095
02/15/54
336,920‌
Series
-
2021
B23
(Class
B)
500,000
Benchmark
Mortgage
Trust
2.274
02/15/54
373,810‌
Series
-
2021
B23
(Class
AS)
500,000
i
Benchmark
Mortgage
Trust
2.563
02/15/54
320,668‌
Series
-
2021
B23
(Class
C)
1,000,000
Benchmark
Mortgage
Trust
2.577
04/15/54
796,994‌
Series
-
2021
B25
(Class
A5)
1,000,000
Benchmark
Mortgage
Trust
2.847
04/15/54
787,059‌
Series
-
2021
B25
(Class
AS)
1,700,000
Benchmark
Mortgage
Trust
2.613
06/15/54
1,363,671‌
Series
-
2021
B26
(Class
A5)
702,000
i
Benchmark
Mortgage
Trust
2.688
06/15/54
507,988‌
Series
-
2021
B26
(Class
B)
500,000
Benchmark
Mortgage
Trust
2.825
06/15/54
387,837‌
Series
-
2021
B26
(Class
AM)
1,500,000
Benchmark
Mortgage
Trust
2.512
07/15/54
1,157,194‌
Series
-
2021
B27
(Class
AS)
1,000,000
Benchmark
Mortgage
Trust
5.358
05/15/55
987,885‌
Series
-
2023
V2
(Class
A2)
500,000
i
Benchmark
Mortgage
Trust
4.470
07/15/55
469,881‌
Series
-
2022
B36
(Class
A5)
500,000
i
Benchmark
Mortgage
Trust
5.290
07/15/55
373,345‌
Series
-
2022
B36
(Class
C)
5,000,000
Benchmark
Mortgage
Trust
2.914
12/15/72
4,746,374‌
Series
-
2019
B15
(Class
A2)
1,500,000
i
BMO
Mortgage
Trust
5.117
02/15/56
1,485,344‌
Series
-
2023
C4
(Class
A5)
1,000,000
i
CD
Mortgage
Trust
3.526
11/10/49
919,273‌
Series
-
2016
CD2
(Class
A4)
2,000,000
CD
Mortgage
Trust
3.631
02/10/50
1,822,843‌
Series
-
2017
CD3
(Class
A4)
12,312
CD
Mortgage
Trust
3.025
08/15/50
11,225‌
Series
-
2017
CD5
(Class
A2)
2,500,000
CD
Mortgage
Trust
3.431
08/15/50
2,289,314‌
Series
-
2017
CD5
(Class
A4)
Bond
Index
Fund
June
30,
2023
146
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
1,000,000
i
CD
Mortgage
Trust
3.684
%
08/15/50
$
901,717‌
Series
-
2017
CD5
(Class
AS)
1,750,000
CD
Mortgage
Trust
4.279
08/15/51
1,628,621‌
Series
-
2018
CD7
(Class
A4)
755,000
Citigroup
Commercial
Mortgage
Trust
4.023
03/11/47
746,756‌
Series
-
2014
GC19
(Class
A4)
440,887
Citigroup
Commercial
Mortgage
Trust
3.622
07/10/47
427,474‌
Series
-
2014
GC23
(Class
A4)
500,000
Citigroup
Commercial
Mortgage
Trust
3.635
10/10/47
480,986‌
Series
-
2014
GC25
(Class
A4)
1,000,000
Citigroup
Commercial
Mortgage
Trust
3.137
02/10/48
953,740‌
Series
-
2015
GC27
(Class
A5)
1,000,000
Citigroup
Commercial
Mortgage
Trust
3.571
02/10/48
944,166‌
Series
-
2015
GC27
(Class
AS)
1,000,000
Citigroup
Commercial
Mortgage
Trust
3.616
02/10/49
934,134‌
Series
-
2016
GC36
(Class
A5)
2,000,000
Citigroup
Commercial
Mortgage
Trust
3.314
04/10/49
1,865,903‌
Series
-
2016
GC37
(Class
A4)
500,000
Citigroup
Commercial
Mortgage
Trust
3.576
04/10/49
460,985‌
Series
-
2016
GC37
(Class
AS)
1,500,000
Citigroup
Commercial
Mortgage
Trust
2.832
08/10/49
1,363,036‌
Series
-
2016
C2
(Class
A4)
1,000,000
Citigroup
Commercial
Mortgage
Trust
3.465
09/15/50
914,120‌
Series
-
2017
P8
(Class
A4)
1,480,000
Citigroup
Commercial
Mortgage
Trust
3.778
09/10/58
1,397,476‌
Series
-
2015
GC33
(Class
A4)
899,446
COMM
Mortgage
Trust
4.046
10/10/46
895,042‌
Series
-
2013
CR12
(Class
A4)
2,750,000
COMM
Mortgage
Trust
3.955
02/10/47
2,731,125‌
Series
-
2014
CR14
(Class
A3)
500,000
COMM
Mortgage
Trust
3.961
03/10/47
492,993‌
Series
-
2014
UBS2
(Class
A5)
1,000,000
COMM
Mortgage
Trust
4.051
04/10/47
980,283‌
Series
-
2014
CR16
(Class
A4)
1,000,000
COMM
Mortgage
Trust
3.819
06/10/47
971,596‌
Series
-
2014
UBS3
(Class
A4)
1,000,000
COMM
Mortgage
Trust
3.694
08/10/47
968,102‌
Series
-
2014
UBS4
(Class
A5)
754,520
COMM
Mortgage
Trust
3.326
11/10/47
728,247‌
Series
-
2014
CR20
(Class
A3)
1,000,000
COMM
Mortgage
Trust
3.590
11/10/47
961,843‌
Series
-
2014
CR20
(Class
A4)
1,000,000
i
COMM
Mortgage
Trust
4.339
12/10/47
941,598‌
Series
-
2014
CR21
(Class
B)
3,150,000
COMM
Mortgage
Trust
3.183
02/10/48
3,000,134‌
Series
-
2015
LC19
(Class
A4)
1,000,000
i
COMM
Mortgage
Trust
4.355
02/10/48
862,380‌
Series
-
2015
LC19
(Class
C)
1,700,000
COMM
Mortgage
Trust
3.708
07/10/48
1,619,237‌
Series
-
2015
LC21
(Class
A4)
616,563
COMM
Mortgage
Trust
3.432
08/10/48
586,302‌
Series
-
2015
CR24
(Class
A4)
1,000,000
COMM
Mortgage
Trust
3.759
08/10/48
949,929‌
Series
-
2015
CR25
(Class
A4)
11,217
COMM
Mortgage
Trust
3.221
10/10/48
10,485‌
Series
-
2015
LC23
(Class
A2)
1,500,000
COMM
Mortgage
Trust
3.774
10/10/48
1,421,113‌
Series
-
2015
LC23
(Class
A4)
44,273
COMM
Mortgage
Trust
4.258
08/10/50
44,214‌
Series
-
2013
CR11
(Class
A4)
147
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
5,000,000
COMM
Mortgage
Trust
2.827
%
08/15/57
$
4,773,869‌
Series
-
2019
GC44
(Class
A2)
3,000,000
COMM
Mortgage
Trust
3.263
08/15/57
2,525,143‌
Series
-
2019
GC44
(Class
AM)
650,000
i
CSAIL
Commercial
Mortgage
Trust
5.084
01/15/49
553,934‌
Series
-
2016
C6
(Class
C)
2,000,000
i
CSAIL
Commercial
Mortgage
Trust
4
.224
08/15/51
1,870,334‌
Series
-
2018
CX12
(Class
A4)
10,000,000
CSAIL
Commercial
Mortgage
Trust
4.053
03/15/52
9,176,024‌
Series
-
2019
C15
(Class
A4)
956,654
DBGS
Mortgage
Trust
4.358
10/15/51
950,773‌
Series
-
2018
C1
(Class
A2)
5,790,000
DBGS
Mortgage
Trust
4.466
10/15/51
5,426,104‌
Series
-
2018
C1
(Class
A4)
3,500,000
DBJPM
3.276
05/10/49
3,253,597‌
Series
-
2016
C1
(Class
A4)
1,000,000
DBJPM
3
.539
05/10/49
912,716‌
Series
-
2016
C1
(Class
AM)
1,590,000
DBJPM
3.328
06/10/50
1,458,275‌
Series
-
2017
C6
(Class
A5)
5,000,000
DBJPM
1.900
08/15/53
4,515,704‌
Series
-
2020
C9
(Class
A2)
1,500,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.199
12/25/27
1,287,219‌
Series
-
2021
K741
(Class
AM)
8,440,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.603
12/25/27
7,422,725‌
Series
-
2021
K741
(Class
A2)
2,947,450
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.712
07/25/28
2,583,428‌
Series
-
2021
K744
(Class
A2)
900,486
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.229
03/25/30
794,830‌
Series
-
2021
K128
(Class
A1)
957,462
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.101
08/25/30
819,320‌
Series
-
2021
K125
(Class
A1)
1,955,876
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.353
11/25/30
1,710,249‌
Series
-
2021
K127
(Class
A1)
1,000,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1
.792
01/25/31
822,398‌
Series
-
2021
K126
(Class
AM)
9,000,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.846
01/25/31
7,473,254‌
Series
-
2021
K125
(Class
A2)
3,000,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2.108
01/25/31
2,539,534‌
Series
-
2021
K127
(Class
A2)
1,332,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.851
02/25/31
1,094,419‌
Series
-
2021
K127
(Class
AM)
1,000,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.749
03/25/31
815,446‌
Series
-
2021
K128
(Class
AM)
2,000,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2.020
03/25/31
1,681,345‌
Series
-
2021
K128
(Class
A2)
1,000,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.647
05/25/31
806,730‌
Series
-
2021
K129
(Class
AM)
Bond
Index
Fund
June
30,
2023
148
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
3,000,000
i
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
3.500
%
07/25/32
$
2,783,023‌
Series
-
2022
K148
(Class
A2)
1,879,426
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2.007
07/25/35
1,538,590‌
Series
-
2021
1520
(Class
A1)
2,000,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2.438
02/25/36
1,566,114‌
Series
-
2021
1520
(Class
A2)
2,000,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2
.184
08/25/36
1,503,625‌
Series
-
2021
1521
(Class
A2)
800,000
GS
Mortgage
Securities
Corp
II
3.382
05/10/50
758,428‌
Series
-
2015
GC30
(Class
A4)
18,275
GS
Mortgage
Securities
Trust
3.813
11/10/46
18,236‌
Series
-
2013
GC16
(Class
AAB)
1,000,000
GS
Mortgage
Securities
Trust
4.074
01/10/47
986,146‌
Series
-
2014
GC18
(Class
A4)
1,500,000
GS
Mortgage
Securities
Trust
3.964
11/10/47
1,422,957‌
Series
-
2014
GC26
(Class
AS)
1,749,843
GS
Mortgage
Securities
Trust
3.136
02/10/48
1,694,020‌
Series
-
2015
GC28
(Class
A4)
1,423,318
GS
Mortgage
Securities
Trust
3.178
11/10/49
1,316,017‌
Series
-
2016
GS4
(Class
A3)
1,350,000
i
GS
Mortgage
Securities
Trust
4.078
11/10/49
1,093,300‌
Series
-
2016
GS4
(Class
C)
568,838
GS
Mortgage
Securities
Trust
2.945
08/10/50
531,985‌
Series
-
2017
GS7
(Class
A2)
1,500,000
GS
Mortgage
Securities
Trust
3.430
08/10/50
1,355,654‌
Series
-
2017
GS7
(Class
A4)
1,000,000
GS
Mortgage
Securities
Trust
3.872
02/10/52
987,441‌
Series
-
2019
GC38
(Class
A2)
2,500,000
GS
Mortgage
Securities
Trust
3.968
02/10/52
2,322,647‌
Series
-
2019
GC38
(Class
A4)
500,000
i
GS
Mortgage
Securities
Trust
4.309
02/10/52
430,895‌
Series
-
2019
GC38
(Class
B)
2,500,000
GS
Mortgage
Securities
Trust
2.898
02/13/53
2,363,126‌
Series
-
2020
GC45
(Class
A2)
4,000,000
i
GS
Mortgage
Securities
Trust
3.173
02/13/53
3,343,312‌
Series
-
2020
GC45
(Class
AS)
2,000,000
i
GS
Mortgage
Securities
Trust
3.405
02/13/53
1,592,298‌
Series
-
2020
GC45
(Class
B)
2,000,000
GS
Mortgage
Securities
Trust
2.125
05/12/53
1,621,380‌
Series
-
2020
GC47
(Class
A4)
4,000,000
GS
Mortgage
Securities
Trust
2.377
05/12/53
3,260,868‌
Series
-
2020
GC47
(Class
A5)
1,000,000
GS
Mortgage
Securities
Trust
1.662
12/12/53
863,267‌
Series
-
2020
GSA2
(Class
AAB)
3,000,000
GS
Mortgage
Securities
Trust
1.721
12/12/53
2,359,980‌
Series
-
2020
GSA2
(Class
A4)
2,000,000
GS
Mortgage
Securities
Trust
2.012
12/12/53
1,575,753‌
Series
-
2020
GSA2
(Class
A5)
1,000,000
GS
Mortgage
Securities
Trust
2.224
12/12/53
769,913‌
Series
-
2020
GSA2
(Class
AS)
500,000
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
4.166
12/15/46
497,323‌
Series
-
2013
C16
(Class
A4)
1,000,000
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
2.822
08/15/49
909,916‌
Series
-
2016
JP2
(Class
A4)
149
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
681,668
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
3.109
%
07/15/50
$
660,977‌
Series
-
2017
JP6
(Class
A3)
2,500,000
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
3.454
09/15/50
2,267,548‌
Series
-
2017
JP7
(Class
A5)
2,150,000
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
3.219
06/13/52
1,987,058‌
Series
-
2019
COR5
(Class
ASB)
2,000,000
JPMBB
Commercial
Mortgage
Securities
Trust
3.801
09/15/47
1,931,032‌
Series
-
2014
C22
(Class
A4)
1,875,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4.118
05/15/48
1,711,426‌
Series
-
2015
C29
(Class
B)
2,700,000
JPMBB
Commercial
Mortgage
Securities
Trust
3.227
10/15/48
2,547,560‌
Series
-
2015
C28
(Class
A4)
1,100,000
JPMBB
Commercial
Mortgage
Securities
Trust
3.532
10/15/48
1,030,957‌
Series
-
2015
C28
(Class
AS)
2,000,000
JPMBB
Commercial
Mortgage
Securities
Trust
3.770
12/15/48
1,891,684‌
Series
-
2015
C33
(Class
A4)
1,000,000
JPMBB
Commercial
Mortgage
Securities
Trust
3.576
03/17/49
939,075‌
Series
-
2016
C1
(Class
A5)
500,000
JPMBB
Commercial
Mortgage
Securities
Trust
3.970
03/17/49
464,259‌
Series
-
2016
C1
(Class
AS)
500,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4.859
03/17/49
463,149‌
Series
-
2016
C1
(Class
B)
1,000,000
i
JPMDB
Commercial
Mortgage
Securities
Trust
3.990
06/15/49
778,117‌
Series
-
2016
C2
(Class
B)
5,922,824
JPMDB
Commercial
Mortgage
Securities
Trust
3.141
12/15/49
5,363,500‌
Series
-
2016
C4
(Class
A3)
5,000,000
JPMDB
Commercial
Mortgage
Securities
Trust
2.946
11/13/52
4,756,636‌
Series
-
2019
COR6
(Class
A2)
98,030
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3.456
05/15/46
95,885‌
Series
-
2013
C9
(Class
AS)
240,000
i
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3.708
05/15/46
209,220‌
Series
-
2013
C9
(Class
B)
134,267
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3.654
04/15/47
133,171‌
Series
-
2014
C15
(Class
ASB)
2,000,000
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3.892
06/15/47
1,952,391‌
Series
-
2014
C16
(Class
A5)
3,500,000
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3.249
02/15/48
3,331,195‌
Series
-
2015
C20
(Class
A4)
1,000,000
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3.306
04/15/48
948,995‌
Series
-
2015
C22
(Class
A4)
1,000,000
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3.732
05/15/48
949,810‌
Series
-
2015
C24
(Class
A4)
2,000,000
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3.599
05/15/50
1,856,300‌
Series
-
2017
C33
(Class
A5)
535,000
Morgan
Stanley
Capital
I
Trust
3.594
03/15/49
500,861‌
Series
-
2016
UBS9
(Class
A4)
1,000,000
i
Morgan
Stanley
Capital
I
Trust
5.013
07/15/51
815,351‌
Series
-
2018
H3
(Class
C)
1,500,000
i
Morgan
Stanley
Capital
I
Trust
4.238
10/15/51
1,439,156‌
Series
-
2018
L1
(Class
ASB)
1,704,998
Morgan
Stanley
Capital
I
Trust
4.288
10/15/51
1,690,466‌
Series
-
2018
L1
(Class
A2)
1,500,000
i
Morgan
Stanley
Capital
I
Trust
4.407
10/15/51
1,417,882‌
Series
-
2018
L1
(Class
A4)
1,000,000
Morgan
Stanley
Capital
I
Trust
4.071
03/15/52
921,186‌
Series
-
2019
L2
(Class
A4)
5,000,000
Morgan
Stanley
Capital
I
Trust
3.224
06/15/52
4,638,728‌
Series
-
2019
H6
(Class
ASB)
Bond
Index
Fund
June
30,
2023
150
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
750,000
Morgan
Stanley
Capital
I
Trust
3.417
%
06/15/52
$
666,970‌
Series
-
2019
H6
(Class
A4)
5,000,000
Morgan
Stanley
Capital
I
Trust
1.790
07/15/53
3,976,106‌
Series
-
2020
HR8
(Class
A3)
2,000,000
Morgan
Stanley
Capital
I
Trust
2.438
05/15/54
1,644,646‌
Series
-
2021
L5
(Class
A3)
1,000,000
Morgan
Stanley
Capital
I
Trust
2.951
05/15/54
799,139‌
Series
-
2021
L5
(Class
AS)
500,000
Santander
Drive
Auto
Receivables
Trust
5.950
01/17/28
497,768‌
Series
-
2022
7
(Class
B)
500,000
Santander
Drive
Auto
Receivables
Trust
6.690
03/17/31
509,165‌
Series
-
2022
7
(Class
C)
393,487
UBS
Commercial
Mortgage
Trust
2.998
08/15/50
392,472‌
Series
-
2017
C3
(Class
A2)
1,500,000
UBS
Commercial
Mortgage
Trust
3.426
08/15/50
1,368,204‌
Series
-
2017
C3
(Class
A4)
1,000,000
i
UBS
Commercial
Mortgage
Trust
3.739
08/15/50
894,769‌
Series
-
2017
C3
(Class
AS)
11,000,000
UBS
Commercial
Mortgage
Trust
4.313
05/15/51
10,310,104‌
Series
-
2018
C10
(Class
A4)
2,000,000
UBS
Commercial
Mortgage
Trust
4.296
08/15/51
1,854,194‌
Series
-
2018
C12
(Class
A5)
2,400,000
i
UBS
Commercial
Mortgage
Trust
5.381
12/15/51
1,874,275‌
Series
-
2018
C14
(Class
C)
875,000
i
Wells
Fargo
Commercial
Mortgage
Trust
3.872
05/15/48
825,934‌
Series
-
2015
C28
(Class
AS)
2,000,000
Wells
Fargo
Commercial
Mortgage
Trust
3.695
11/15/48
1,890,857‌
Series
-
2015
C31
(Class
A4)
480,000
i
Wells
Fargo
Commercial
Mortgage
Trust
4.224
12/15/48
433,388‌
Series
-
2015
NXS4
(Class
B)
2,000,000
Wells
Fargo
Commercial
Mortgage
Trust
2.652
08/15/49
1,811,180‌
Series
-
2016
BNK1
(Class
A3)
500,000
Wells
Fargo
Commercial
Mortgage
Trust
2.967
08/15/49
382,262‌
Series
-
2016
BNK1
(Class
B)
1,000,000
Wells
Fargo
Commercial
Mortgage
Trust
3.377
11/15/49
897,254‌
Series
-
2016
NXS6
(Class
AS)
2,000,000
Wells
Fargo
Commercial
Mortgage
Trust
4.152
08/15/51
1,875,833‌
Series
-
2018
C46
(Class
A4)
2,700,000
Wells
Fargo
Commercial
Mortgage
Trust
3.760
03/15/52
2,474,186‌
Series
-
2019
C49
(Class
A4)
2,000,000
Wells
Fargo
Commercial
Mortgage
Trust
3.635
05/15/52
1,878,767‌
Series
-
2019
C50
(Class
ASB)
3,250,000
Wells
Fargo
Commercial
Mortgage
Trust
4.192
05/15/52
2,813,544‌
Series
-
2019
C50
(Class
B)
10,000,000
Wells
Fargo
Commercial
Mortgage
Trust
3.040
10/15/52
8,669,213‌
Series
-
2019
C53
(Class
A4)
2,500,000
Wells
Fargo
Commercial
Mortgage
Trust
1.810
07/15/53
2,009,257‌
Series
-
2020
C58
(Class
A3)
1,500,000
Wells
Fargo
Commercial
Mortgage
Trust
2.092
07/15/53
1,192,359‌
Series
-
2020
C58
(Class
A4)
500,000
Wells
Fargo
Commercial
Mortgage
Trust
2.398
07/15/53
381,183‌
Series
-
2020
C58
(Class
AS)
10,000,000
Wells
Fargo
Commercial
Mortgage
Trust
1.864
08/15/53
8,012,480‌
Series
-
2020
C57
(Class
A3)
1,893,000
Wells
Fargo
Commercial
Mortgage
Trust
2.626
04/15/54
1,545,871‌
Series
-
2021
C59
(Class
A5)
117,000
Wells
Fargo
Commercial
Mortgage
Trust
3.896
03/15/59
101,494‌
Series
-
2016
C33
(Class
C)
500,000
i
WF-RBS
Commercial
Mortgage
Trust
4.646
03/15/47
461,715‌
Series
-
2014
C19
(Class
C)
151
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
1,000,000
i
WF-RBS
Commercial
Mortgage
Trust
4.723
%
03/15/47
$
961,582‌
Series
-
2014
C19
(Class
B)
TOTAL
OTHER
MORTGAGE
BACKED
342,775,474‌
TOTAL
STRUCTURED
ASSETS
458,510,424‌
(Cost
$520,022,270)
TOTAL
LONG-TERM
INVESTMENTS
20,870,965,229‌
(Cost
$23,441,029,826)
REFERENCERATE
&
SPREAD
SHORT-TERM
INVESTMENTS
-
0.7%
GOVERNMENT
AGENCY
DEBT
-
0.1%
$
5,000,000
Federal
Home
Loan
Bank
(FHLB)
0.000
07/05/23
4,998,658‌
5,000,000
FHLB
0.000
08/30/23
4,960,851‌
6,250,000
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
0.000
07/17/23
6,238,268‌
10,000,000
Tennessee
Valley
Authority
(TVA)
0
.000
07/05/23
9,997,316‌
TOTAL
GOVERNMENT
AGENCY
DEBT
26,195,093‌
REPURCHASE
AGREEMENT
-
0.6%
116,595,000
r
Fixed
Income
Clearing
Corp
(FICC)
5.050
07/03/23
116,595,000‌
TOTAL
REPURCHASE
AGREEMENT
116,595,000‌
TOTAL
SHORT-TERM
INVESTMENTS
142,790,093‌
(Cost
$142,779,473)
SHARES
EXP
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.5%
111,799,939
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5.110
111,799,939‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
111,799,939‌
(Cost
$111,799,939)
TOTAL
INVESTMENTS
-
100.6%
21,125,555,261‌
(Cost
$23,695,609,238)
OTHER
ASSETS
&
LIABILITIES,
NET
-
(0.6)%
(126,417,949‌)
NET
ASSETS
-
100.0%
$
20,999,137,312‌
DGS1
1-Year
Treasury
Constant
Maturity
Rate
LIBOR
London
Interbank
Offered
Rate
M
Month
UPMC
University
of
Pittsburgh
Medical
Center
Perpetual
security
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$114,582,363.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
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
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$116,595,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
2.750%
and
maturity
date
7/31/27,
valued
at
$118,926,967.
Core
Bond
Fund
June
30,
2023
Portfolio
of
Investments
152
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
97.8%
BANK
LOAN
OBLIGATIONS
-
1.7%
AUTOMOBILES
&
COMPONENTS
-
0
.0
%
$
790,412
i
Gates
Global
LLC
SOFR
12
M
+
2.500%
7
.702
%
03/31/27
$
787,448‌
TOTAL
AUTOMOBILES
&
COMPONENTS
787,448‌
CAPITAL
GOODS
-
0
.1
%
916,071
i
Alliance
Laundry
Systems
LLC
SOFR
4
M
+
3.500%
8
.559
10/08/27
914,853‌
701,491
i
Avolon
TLB
Borrower  US
LLC
SOFR
1
M
+
2.500%
7
.589
06/22/28
701,992‌
892,659
i
Avolon
TLB
Borrower
US
LLC
LIBOR
12
M
+
1.500%
6
.646
02/12/27
881,563‌
591,263
i
Chariot
Buyer
LLC
SOFR
12
M
+
3.250%
8
.452
11/03/28
578,858‌
477,740
i
Cornerstone
Building
Brands,
Inc
SOFR
12
M
+
3.250%
8
.497
04/12/28
459,230‌
774,101
i
Resideo
Funding,
Inc
LIBOR
4
M
+
2.250%
7
.600
02/11/28
772,650‌
331,818
i
SRAM
LLC
LIBOR
12
M
+
2.750%
7
.943
05/18/28
330,574‌
1,436,759
i
TransDigm,
Inc
LIBOR
3
M
+
2.250%
5
.924
08/22/24
1,438,928‌
402,434
i
TransDigm,
Inc
LIBOR
3
M
+
2.250%
6
.980
12/09/25
402,667‌
571,879
i
Univar
Solutions
USA,
Inc
LIBOR
4
M
+
1.750%
7
.288
06/03/28
572,199‌
TOTAL
CAPITAL
GOODS
7,053,514‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.1
%
1,344,063
i
AlixPartners
LLP
SOFR
12
M
+
2.500%
7
.717
02/04/28
1,342,886‌
272,938
i
Amentum
Government
Services
Holdings
LLC
SOFR
12
M
+
4.000%
9
.147
02/15/29
267,479‌
635,315
i
Dun
&
Bradstreet
Corp
SOFR
12
M
+
3.250%
8
.434
02/06/26
636,665‌
977,040
i
EAB
Global,
Inc
LIBOR
4
M
+
3.500%
8
.872
08/16/28
967,426‌
378,705
i
GFL
Environmental,
Inc
LIBOR
3
M
+
3.000%
3
.000
05/31/25
379,459‌
712,434
i
Peraton
Corp
SOFR
12
M
+
3.750%
8
.952
02/01/28
701,367‌
1,279,401
i
Prime
Security
Services
Borrower
LLC
LIBOR
3
M
+
2.750%
7
.608
09/23/26
1,280,636‌
1,721,127
i
Sedgwick
Claims
Management
Services,
Inc
SOFR
12
M
+
3.750%
8
.852
02/24/28
1,713,468‌
455,148
i
Spin
Holdco,
Inc
LIBOR
4
M
+
4.000%
9
.230
03/04/28
392,891‌
4,193,037
i
Trans
Union
LLC
SOFR
12
M
+
2.250%
7
.467
12/01/28
4,188,005‌
400,728
i
West
Technology
Group
LLC
SOFR
4
M
+
4.000%
9
.295
04/10/27
363,103‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
12,233,385‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.1
%
1,750,000
h,i
Emerson
Climate
Technologies,
Inc
SOFR
1
M
+
3.000%
3
.000
05/31/30
1,752,188‌
4,962,500
i
Flutter
Financing
BV
SOFR
4
M
+
3.250%
8
.753
07/22/28
4,977,437‌
605,231
h,i
LS
Group
OpCo
Acquisition
LLC
LIBOR
12
M
+
3.250%
8
.443
11/02/27
602,711‌
984,987
i
PetSmart,
Inc
SOFR
12
M
+
3.750%
8
.952
02/11/28
984,785‌
578,764
i
Staples,
Inc
LIBOR
4
M
+
5.000%
10
.299
04/16/26
496,834‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
8,813,955‌
CONSUMER
DURABLES
&
APPAREL
-
0
.0
%
982,500
i
Conair
Holdings
LLC
LIBOR
4
M
+
3.750%
9
.288
05/17/28
929,077‌
979,678
i
Weber-Stephen
Products
LLC
SOFR
12
M
+
3.250%
8
.467
10/30/27
866,662‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
1,795,739‌
CONSUMER
SERVICES
-
0
.2
%
3,795,507
i
1011778
BC
ULC
LIBOR
12
M
+
1.750%
6
.943
11/19/26
3,774,936‌
397,975
i
Alterra
Mountain
Co
LIBOR
12
M
+
3.500%
8
.693
08/17/28
397,851‌
1,571,063
i
Caesars
Entertainment,
Inc
SOFR
12
M
+
3.250%
8
.452
02/06/30
1,573,113‌
584,594
i
Carnival
Corp
SOFR
12
M
+
3.250%
8
.467
10/18/28
580,452‌
656,688
i
CCC
Intelligent
Solutions,
Inc
SOFR
12
M
+
2.250%
7
.467
09/21/28
655,765‌
976,684
i
ClubCorp
Holdings,
Inc
LIBOR
4
M
+
2.750%
8
.288
09/18/24
939,184‌
270,000
i
Delta
2
Lux
Sarl
SOFR
12
M
+
3.000%
8
.102
01/15/30
270,371‌
453,863
i
Element
Materials
Technology
Group
US
Holdings,
Inc
CME
Term
SOFR
1
Month
+
4.250%
8
.930
04/12/29
445,920‌
208,950
i
Element
Materials
Technology
Group
US
Holdings,
Inc
SOFR
4
M
+
4.250%
9
.592
06/22/29
205,293‌
1,960,174
i
Fertitta
Entertainment
LLC
SOFR
12
M
+
4.000%
9
.102
01/27/29
1,938,328‌
153
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
SERVICES—continued
$
859,693
i
IRB
Holding
Corp
SOFR
12
M
+
3.000%
8
.202
%
12/15/27
$
854,857‌
379,789
i
KFC
Holding
Co
LIBOR
12
M
+
1.750%
6
.896
03/15/28
377,273‌
643,824
i
Life
Time,
Inc
CME
Term
SOFR
1
Month
+
4.750%
9
.800
01/15/26
644,731‌
203,713
h,i
Motion
Finco
LLC
LIBOR
1
M
+
3.250%
0
.000
11/04/26
202,249‌
307,395
i
Penn
National
Gaming,
Inc
SOFR
12
M
+
2.750%
7
.952
05/03/29
306,786‌
2,224,068
i
Sophia
LP
LIBOR
1
M
+
3.750%
8
.230
10/07/27
2,203,685‌
1,347,500
i
Stars
Group
Holdings
BV
SOFR
4
M
+
2.250%
7
.753
07/21/26
1,349,023‌
TOTAL
CONSUMER
SERVICES
16,719,817‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0
.0
%
884,583
i
US
Foods,
Inc
SOFR
12
M
+
2.750%
7
.967
11/22/28
885,242‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
885,242‌
ENERGY
-
0
.0
%
1,378,955
i
Buckeye
Partners
LP
LIBOR
12
M
+
2.250%
7
.452
11/01/26
1,371,343‌
193,674
i
DT
Midstream,
Inc
SOFR
4
M
+
2.000%
7
.356
06/26/28
194,098‌
746,144
i
Oryx
Midstream
Services
Permian
Basin
LLC
SOFR
12
M
+
3.250%
8
.539
10/05/28
745,961‌
TOTAL
ENERGY
2,311,402‌
FINANCIAL
SERVICES
-
0
.0
%
593,368
i
Lions
Gate
Capital
Holdings
LLC
SOFR
12
M
+
2.250%
7
.452
03/24/25
592,258‌
1,428,940
h,i
Motion
Finco
LLC
LIBOR
3
M
+
3.250%
3
.250
11/12/26
1,418,673‌
TOTAL
FINANCIAL
SERVICES
2,010,931‌
FOOD,
BEVERAGE
&
TOBACCO
-
0
.0
%
601,970
i
Arterra
Wines
Canada,
Inc
SOFR
4
M
+
3.500%
9
.003
11/24/27
586,421‌
145,500
i
Froneri
US,
Inc
SOFR
12
M
+
2.250%
7
.452
01/29/27
144,937‌
1,862,000
i
Hayward
Industries,
Inc
SOFR
12
M
+
2.750%
7
.967
05/30/28
1,846,871‌
882,659
i
Hostess
Brands
LLC
LIBOR
4
M
+
2.250%
7
.523
08/03/25
883,846‌
432,646
i
Triton
Water
Holdings,
Inc
LIBOR
4
M
+
3.500%
8
.659
03/31/28
419,329‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
3,881,404‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
0
.2
%
3,698,789
i
Bausch
&
Lomb
Corp
SOFR
4
M
+
3.250%
8
.592
05/10/27
3,597,073‌
1
i
Da
Vinci
Purchaser
Corp
LIBOR
1
M
+
4.000%
8
.953
11/26/26
1‌
1,188,466
i
DaVita,
Inc
SOFR
12
M
+
1.750%
6
.967
08/12/26
1,173,134‌
605,009
i
Global
Medical
Response,
Inc
LIBOR
12
M
+
4.250%
9
.439
10/02/25
343,343‌
628,509
i
Grifols
Worldwide
Operations
USA,
Inc
SOFR
4
M
+
2.000%
7
.364
11/15/27
619,474‌
2,984,887
i
ICU
Medical,
Inc
SOFR
4
M
+
2.500%
7
.892
01/08/29
2,958,769‌
593,016
i
NMN
Holdings
III
Corp
SOFR
12
M
+
3.750%
8
.967
11/13/25
516,911‌
127,258
i
NMN
Holdings
III
Corp
SOFR
12
M
+
3.750%
8
.967
11/13/25
110,927‌
1,886,500
i
Onex
TSG
Intermediate
Corp
SOFR
4
M
+
4.750%
10
.057
02/28/28
1,686,059‌
977,506
i
Phoenix
Guarantor,
Inc
SOFR
12
M
+
3.500%
8
.602
03/05/26
967,853‌
946,734
i
Select
Medical
Corp
SOFR
12
M
+
2.500%
7
.702
03/06/25
945,905‌
2,000,000
h,i
Surgery
Center
Holdings,
Inc
LIBOR
12
M
+
3.750%
8
.896
08/31/26
1,999,770‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
14,919,219‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.0
%
567,000
i
Energizer
Holdings,
Inc
SOFR
12
M
+
2.250%
7
.442
12/22/27
564,877‌
1,900,000
h,i
Kronos
Acquisition
Holdings,
Inc
LIBOR
12
M
+
3.750%
9
.253
12/22/26
1,855,616‌
1,919,121
i
Kronos
Acquisition
Holdings,
Inc
CME
Term
SOFR
4
Month
+
6.000%
11
.375
12/22/26
1,887,935‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
4,308,428‌
INSURANCE
-
0
.1
%
667,091
i
Acrisure
LLC
LIBOR
12
M
+
3.500%
8
.693
02/15/27
649,283‌
382,913
i
AssuredPartners,
Inc
SOFR
12
M
+
3.500%
8
.717
02/12/27
379,723‌
610,306
i
Asurion
LLC
LIBOR
4
M
+
3.000%
8
.538
11/03/24
610,452‌
419,807
i
Asurion
LLC
LIBOR
12
M
+
3.250%
8
.788
12/23/26
405,218‌
525,974
i
HUB
International
Ltd
LIBOR
6
M
+
3.250%
8
.414
04/25/25
527,765‌
971,348
i
NFP
Corp
SOFR
12
M
+
3.250%
8
.467
02/15/27
953,655‌
Core
Bond
Fund
June
30,
2023
154
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
INSURANCE—continued
$
1,989,975
i
USI,
Inc
SOFR
4
M
+
3.750%
8
.992
%
11/22/29
$
1,989,796‌
TOTAL
INSURANCE
5,515,892‌
MATERIALS
-
0
.1
%
671,864
i
Asplundh
Tree
Expert
LLC
SOFR
12
M
+
1.750%
6
.952
09/07/27
670,920‌
1,751,268
i
Clydesdale
Acquisition
Holdings,
Inc
SOFR
12
M
+
4.175%
9
.377
04/13/29
1,726,671‌
1,195,600
i
Eco
Services
Operations
Corp
SOFR
4
M
+
2.500%
7
.645
06/09/28
1,192,145‌
199,500
i
H.B.
Fuller
Co
SOFR
12
M
+
2.500%
7
.602
02/15/30
200,569‌
759,500
i
Kloeckner
Pentaplast
of
America,
Inc
SOFR
2M
+
4.725%
10
.104
02/12/26
726,747‌
344,639
i
Messer
Industries
USA,
Inc
SOFR
4
M
+
2.500%
8
.003
03/02/26
344,865‌
144,270
i
Quikrete
Holdings,
Inc
SOFR
12
M
+
2.625%
7
.842
02/01/27
144,173‌
297,076
i
Reynolds
Consumer
Products
LLC
SOFR
12
M
+
1.750%
6
.952
02/04/27
297,110‌
1,032,580
i
Reynolds
Group
Holdings,
Inc
SOFR
12
M
+
3.250%
8
.467
02/05/26
1,033,458‌
392,995
i
TricorBraun
Holdings,
Inc
SOFR
12
M
+
3.250%
8
.467
03/03/28
383,416‌
869,593
i
Tronox
Finance
LLC
LIBOR
12
M
+
2.250%
7
.443
03/10/28
865,897‌
142,825
i
WR
Grace
Holdings
LLC
LIBOR
4
M
+
3.750%
9
.313
09/22/28
142,213‌
TOTAL
MATERIALS
7,728,184‌
MEDIA
&
ENTERTAINMENT
-
0
.2
%
482,044
i
Altice
Financing
S.A.
LIBOR
4
M
+
2.750%
8
.010
01/31/26
476,922‌
195,000
i
Cablevision
Lightpath
LLC
LIBOR
12
M
+
3.250%
8
.443
11/30/27
188,267‌
2,000,000
h,i
Centuri
Group,
Inc
LIBOR
3
M
+
2.500%
2
.500
08/27/28
1,993,130‌
3,323
i
Cirque
Du
Soleil
Holding
USA
Newco,
Inc
LIBOR
3
M
+
1.000%
7
.000
11/24/27
3,305‌
1,581,411
i
CNT
Holdings
I
Corp
SOFR
4
M
+
3.500%
8
.459
11/08/27
1,577,260‌
940,000
i
Coral-US
Co-Borrower
LLC
LIBOR
12
M
+
3.000%
8
.193
10/15/29
933,787‌
1,447,500
i,q
Diamond
Sports
Group
LLC
SOFR
12
M
+
5.250%
10
.496
08/24/26
51,864‌
825,650
i
DIRECTV
Financing
LLC
SOFR
12
M
+
5.000%
10
.217
08/02/27
809,021‌
980,722
i
INEOS
US
Petrochem
LLC
SOFR
12
M
+
2.750%
7
.967
01/29/26
979,864‌
3,174,924
i
Mozart
Borrower
LP
SOFR
12
M
+
3.250%
8
.352
10/23/28
3,142,175‌
3,482,443
i
Phoenix
Newco,
Inc
LIBOR
12
M
+
3.250%
8
.404
11/15/28
3,459,807‌
677,321
i
Rackspace
Technology
Global,
Inc
SOFR
12
M
+
2.750%
7
.996
02/15/28
314,355‌
3,039
i
Radiate
Holdco
LLC
SOFR
12
M
+
3.250%
8
.477
09/25/26
2,544‌
953,078
i
Ryan
Specialty
Group
LLC
SOFR
12
M
+
3.000%
8
.202
09/01/27
954,122‌
917
i
TK
Elevator
US
Newco,
Inc
LIBOR
2
M
+
3.500%
8
.602
07/30/27
911‌
326,632
i
Univision
Communications,
Inc
LIBOR
12
M
+
3.250%
8
.443
03/15/26
324,357‌
2,950,000
i
Virgin
Media
Bristol
LLC
LIBOR
12
M
+
2.500%
7
.693
01/31/28
2,929,173‌
259,344
i
Wand
NewCo
3,
Inc
LIBOR
12
M
+
2.750%
7
.943
02/05/26
257,597‌
TOTAL
MEDIA
&
ENTERTAINMENT
18,398,461‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
0
.1
%
1,639,445
i
Avantor,
Inc
SOFR
12
M
+
2.250%
7
.452
11/08/27
1,640,814‌
955,253
i
Catalent
Pharma
Solutions,
Inc
LIBOR
12
M
+
2.000%
7
.188
02/22/28
937,638‌
1,988,984
i
Elanco
Animal
Health
Inc
LIBOR
1
M
+
1.750%
6
.653
08/01/27
1,955,420‌
1,277,545
i
Horizon
Therapeutics
USA,
Inc
SOFR
12
M
+
2.000%
7
.204
05/22/26
1,277,315‌
3,413,015
i
Jazz
Financing
Lux
Sarl
SOFR
12
M
+
3.500%
8
.864
05/05/28
3,412,094‌
1,325,088
h,i
Organon
&
Co
LIBOR
12
M
+
3.000%
8
.250
06/02/28
1,326,539‌
294,030
i
Perrigo
Investments
LLC
SOFR
12
M
+
2.250%
7
.452
04/20/29
292,192‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
10,842,012‌
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
0
.0
%
370,488
i
Cushman
&
Wakefield
plc
SOFR
12
M
+
2.750%
7
.967
08/21/25
367,941‌
467,317
i
Cushman
&
Wakefield
US
Borrower
LLC
SOFR
1
M
+
3.250%
8
.332
01/31/30
453,881‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
821,822‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.0
%
545,449
i
Bright
Bidco
BV
SOFR
4
M
+
9.000%
14
.045
10/31/27
282,725‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
282,725‌
SOFTWARE
&
SERVICES
-
0
.3
%
2,982,434
i
Boxer
Parent
Co,
Inc
SOFR
12
M
+
3.750%
8
.967
10/02/25
2,962,213‌
322,053
i
Camelot
Finance
S.A.
SOFR
12
M
+
3.000%
8
.217
10/30/26
321,973‌
155
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SOFTWARE
&
SERVICES—continued
$
824,438
i
Camelot
US
Acquisition
SOFR
12
M
+
3.000%
8
.217
%
10/30/26
$
824,269‌
994,885
i
Epicor
Software
Corp
SOFR
12
M
+
3.250%
8
.467
07/30/27
983,881‌
839,375
i
Informatica
LLC
LIBOR
12
M
+
2.750%
8
.000
10/27/28
839,635‌
1,994,962
i
Instructure
Holdings,
Inc
LIBOR
4
M
+
2.750%
7
.852
10/30/28
1,998,713‌
502,920
i
Light
&
Wonder,
Inc
SOFR
12
M
+
3.000%
8
.248
04/14/29
503,038‌
4,392
i
Magenta
Buyer
LLC
LIBOR
4
M
+
4.750%
10
.030
07/27/28
3,321‌
4,270,747
i
NortonLifeLock,
Inc
SOFR
12
M
+
2.000%
7
.202
09/12/29
4,254,753‌
4,378,000
i
Open
Text
Corp
SOFR
12
M
+
3.500%
8
.702
01/31/30
4,402,626‌
466,688
i
RealPage,
Inc
SOFR
12
M
+
3.000%
8
.217
04/24/28
457,179‌
680
i
Rocket
Software,
Inc
SOFR
12
M
+
4.250%
9
.467
11/28/25
674‌
2,008,840
i
SS&C
Technologies,
Inc
SOFR
12
M
+
2.250%
7
.452
03/22/29
2,005,495‌
3,027,709
i
SS&C
Technologies,
Inc
CME
Term
SOFR
12
Month
+
2.250%
7
.452
03/22/29
3,022,668‌
1,989,899
i
UKG,
Inc
SOFR
4
M
+
3.250%
8
.271
05/04/26
1,955,902‌
TOTAL
SOFTWARE
&
SERVICES
24,536,340‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
0
.0
%
264,463
i
Ingram
Micro,
Inc
LIBOR
4
M
+
3.500%
9
.038
06/30/28
263,969‌
605,688
i
MLN
US
Holdco
LLC
LIBOR
6
M
+
4.500%
4
.500
11/30/25
145,365‌
379,683
i
MLN
US
Holdco
LLC
5
.082
10/18/27
190,791‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
600,125‌
TELECOMMUNICATION
SERVICES
-
0
.0
%
139,626
i
Avaya,
Inc
SOFR
4
M
+
8.500%
13
.544
08/01/28
120,916‌
467,251
i
CommScope,
Inc
SOFR
12
M
+
3.250%
8
.467
04/06/26
448,619‌
964,093
i
SFR
Group
S.A.
LIBOR
4
M
+
3.688%
8
.948
01/31/26
912,274‌
623,553
i
Zayo
Group
Holdings,
Inc
SOFR
12
M
+
3.000%
8
.217
03/09/27
491,671‌
TOTAL
TELECOMMUNICATION
SERVICES
1,973,480‌
TRANSPORTATION
-
0
.1
%
248,125
i
Air
Canada
LIBOR
4
M
+
3.500%
8
.839
08/11/28
248,458‌
750,000
i
American
Airlines,
Inc
LIBOR
4
M
+
4.750%
10
.000
04/20/28
767,010‌
308,380
i
Avis
Budget
Car
Rental
LLC
SOFR
12
M
+
1.750%
6
.967
08/06/27
305,103‌
374,300
i
CHG
Healthcare
Services,
Inc
LIBOR
12
M
+
3.250%
8
.443
09/29/28
372,943‌
985,000
i
Gulf
Finance
LLC
SOFR
12
M
+
6.750%
11
.996
08/25/26
960,513‌
2,000,000
h,i
Kestrel
Bidco,
Inc
SOFR
4
M
+
3.000%
8
.251
12/11/26
1,945,140‌
440,000
i
Mileage
Plus
Holdings
LLC
LIBOR
4
M
+
5.250%
10
.764
06/21/27
457,875‌
247,500
i
SkyMiles
IP
Ltd
SOFR
4
M
+
3.750%
8
.798
10/20/27
257,400‌
642,032
i
XPO,
Inc
CME
Term
SOFR
1
Month
+
2.000%
0
.000
05/24/28
645,072‌
TOTAL
TRANSPORTATION
5,959,514‌
UTILITIES
-
0
.1
%
998,344
h,i
BroadStreet
Partners,
Inc
SOFR
12
M
+
2.750%
7
.967
01/27/27
987,478‌
354,197
i
BroadStreet
Partners,
Inc
SOFR
12
M
+
2.750%
7
.967
01/27/27
351,541‌
1,500,000
i
BroadStreet
Partners,
Inc
SOFR
12
M
+
4.000%
9
.160
01/27/29
1,494,375‌
909,562
i
Calpine
Corp
LIBOR
12
M
+
2.500%
7
.700
12/16/27
910,058‌
656,860
i
Covanta
Holding
Corp
SOFR
12
M
+
2.500%
7
.602
11/30/28
652,120‌
49,826
i
Covanta
Holding
Corp
CME
Term
SOFR
12
Month
+
2.500%
7
.602
11/30/28
49,466‌
1,460,200
i
First
Eagle
Holdings,
Inc
LIBOR
4
M
+
2.500%
8
.038
02/01/27
1,440,487‌
1,923,559
i
Gopher
Resource
LLC
LIBOR
4
M
+
3.250%
8
.981
03/06/25
1,591,745‌
1,048,174
i
Samsonite
IP
Holdings
Sarl
SOFR
1
M
+
2.750%
7
.826
06/21/30
1,052,765‌
213,000
h,i
Talen
Energy
Supply
LLC
SOFR
1
M
+
4.500%
4
.500
05/17/30
212,690‌
262,000
h,i
Talen
Energy
Supply
LLC
SOFR
1
M
+
4.500%
9
.590
05/17/30
261,619‌
1,010,179
i
Utz
Quality
Foods
LLC
SOFR
12
M
+
3.000%
8
.217
01/20/28
1,009,967‌
889,789
i
Vistra
Operations
Co
LLC
LIBOR
12
M
+
1.750%
6
.943
12/31/25
888,676‌
TOTAL
UTILITIES
10,902,987‌
TOTAL
BANK
LOAN
OBLIGATIONS
163,282,026‌
(Cost
$167,050,680)
Core
Bond
Fund
June
30,
2023
156
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
CORPORATE
BONDS
-
35
.6
%
AUTOMOBILES
&
COMPONENTS
-
1
.1
%
$
4,500,000
g
Adient
Global
Holdings
Ltd
4
.875
%
08/15/26
$
4,274,801‌
2,060,000
g
Clarios
Global
LP
6
.750
05/15/28
2,052,795‌
225,000
Dana,
Inc
5
.375
11/15/27
213,133‌
225,000
e
Dana,
Inc
5
.625
06/15/28
211,481‌
325,000
Dana,
Inc
4
.250
09/01/30
270,574‌
1,755,000
Ford
Motor
Co
3
.250
02/12/32
1,380,631‌
2,635,000
e
Ford
Motor
Co
6
.100
08/19/32
2,553,726‌
5,000,000
Ford
Motor
Credit
Co
LLC
3
.664
09/08/24
4,831,629‌
7,075,000
Ford
Motor
Credit
Co
LLC
6
.950
03/06/26
7,112,490‌
7,920,000
Ford
Motor
Credit
Co
LLC
7
.350
03/06/30
8,088,237‌
1,400,000
Ford
Motor
Credit
Co
LLC
4
.000
11/13/30
1,196,417‌
2,000,000
Ford
Motor
Credit
Co
LLC
3
.625
06/17/31
1,639,250‌
4,900,000
e,g
Gates
Global
LLC
6
.250
01/15/26
4,821,621‌
4,150,000
General
Motors
Co
6
.125
10/01/25
4,178,347‌
2,100,000
General
Motors
Co
5
.400
10/15/29
2,047,610‌
10,050,000
General
Motors
Co
5
.200
04/01/45
8,572,878‌
4,390,000
General
Motors
Financial
Co,
Inc
2
.750
06/20/25
4,135,484‌
1,400,000
General
Motors
Financial
Co,
Inc
6
.050
10/10/25
1,402,449‌
10,900,000
General
Motors
Financial
Co,
Inc
5
.000
04/09/27
10,607,009‌
3,550,000
General
Motors
Financial
Co,
Inc
5
.850
04/06/30
3,518,985‌
9,850,000
General
Motors
Financial
Co,
Inc
2
.700
06/10/31
7,856,368‌
3,450,000
General
Motors
Financial
Co,
Inc
5
.700
N/A‡
3,028,560‌
2,000,000
General
Motors
Financial
Co,
Inc
5
.750
N/A‡
1,627,500‌
2,000,000
e
Goodyear
Tire
&
Rubber
Co
5
.000
07/15/29
1,803,473‌
5,000,000
Goodyear
Tire
&
Rubber
Co
5
.250
04/30/31
4,391,683‌
3,000,000
g
Hyundai
Capital
Services,
Inc
2
.125
04/24/25
2,809,721‌
2,000,000
g,o
IHO
Verwaltungs
GmbH
4
.750
09/15/26
1,845,180‌
500,000
g,o
IHO
Verwaltungs
GmbH
6
.375
05/15/29
463,387‌
1,665,000
g
Kia
Corp
2
.375
02/14/25
1,578,080‌
1,750,000
Magna
International,
Inc
3
.625
06/15/24
1,715,065‌
2,000,000
e,g
Nemak
SAB
de
C.V.
3
.625
06/28/31
1,560,079‌
2,575,000
g
Volkswagen
Group
of
America
Finance
LLC
1
.625
11/24/27
2,202,246‌
750,000
g
ZF
North
America
Capital,
Inc
6
.875
04/14/28
759,513‌
TOTAL
AUTOMOBILES
&
COMPONENTS
104,750,402‌
BANKS
-
8
.1
%
1,525,000
g
Access
Bank
plc
6
.125
09/21/26
1,279,627‌
2,000,000
e,g
Akbank
T.A.S.
6
.800
02/06/26
1,905,600‌
1,500,000
g
Akbank
T.A.S.
6
.800
06/22/31
1,361,433‌
2,995,000
g
Australia
&
New
Zealand
Banking
Group
Ltd
2
.950
07/22/30
2,743,630‌
5,000,000
g
Australia
&
New
Zealand
Banking
Group
Ltd
6
.750
N/A‡
4,889,342‌
3,000,000
e
Banco
Bilbao
Vizcaya
Argentaria
S.A.
6
.500
N/A‡
2,813,100‌
2,100,000
g
Banco
de
Credito
del
Peru
2
.700
01/11/25
2,006,379‌
1,012,000
g
Banco
de
Credito
e
Inversiones
S.A.
2
.875
10/14/31
838,373‌
1,725,000
g
Banco
Industrial
S.A.
4
.875
01/29/31
1,581,620‌
3,300,000
g
Banco
Internacional
del
Peru
SAA
Interbank
4
.000
07/08/30
3,030,720‌
1,725,000
g
Banco
Nacional
de
Comercio
Exterior
SNC
2
.720
08/11/31
1,446,844‌
4,000,000
Banco
Santander
S.A.
5
.294
08/18/27
3,921,534‌
4,200,000
Banco
Santander
S.A.
3
.800
02/23/28
3,859,643‌
5,400,000
Banco
Santander
S.A.
4
.750
N/A‡
4,132,237‌
2,000,000
Banco
Santander
S.A.
7
.500
N/A‡
1,905,952‌
1,825,000
Bancolombia
S.A.
4
.625
12/18/29
1,553,531‌
2,500,000
g
Banistmo
S.A.
4
.250
07/31/27
2,313,837‌
4,000,000
g
Bank
Hapoalim
BM
3
.255
01/21/32
3,422,608‌
8,000,000
g
Bank
Leumi
Le-Israel
BM
3
.275
01/29/31
7,147,520‌
157
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
32,525,000
Bank
of
America
Corp
0
.810
%
10/24/24
$
31,984,079‌
10,000,000
Bank
of
America
Corp
4
.000
01/22/25
9,724,939‌
1,000,000
Bank
of
America
Corp
4
.450
03/03/26
971,927‌
23,880,000
Bank
of
America
Corp
2
.592
04/29/31
20,048,135‌
9,300,000
Bank
of
America
Corp
2
.572
10/20/32
7,574,854‌
23,300,000
Bank
of
America
Corp
2
.972
02/04/33
19,423,490‌
76,000,000
Bank
of
America
Corp
5
.288
04/25/34
75,293,673‌
7,200,000
Bank
of
America
Corp
3
.846
03/08/37
6,156,895‌
8,925,000
Bank
of
America
Corp
2
.676
06/19/41
6,266,633‌
1,150,000
Bank
of
America
Corp
4
.375
N/A‡
980,663‌
14,700,000
Bank
of
America
Corp
6
.100
N/A‡
14,575,050‌
5,000,000
Bank
of
America
Corp
6
.250
N/A‡
4,937,500‌
7,000,000
Barclays
plc
3
.932
05/07/25
6,840,862‌
600,000
Barclays
plc
2
.279
11/24/27
527,797‌
4,700,000
Barclays
plc
3
.330
11/24/42
3,299,322‌
6,200,000
Barclays
plc
6
.125
N/A‡
5,434,300‌
6,500,000
Barclays
PLC
8
.000
N/A‡
6,141,850‌
5,550,000
g
BNP
Paribas
S.A.
2
.819
11/19/25
5,291,874‌
5,895,000
g
BNP
Paribas
S.A.
1
.904
09/30/28
5,020,791‌
2,800,000
g
BNP
Paribas
S.A.
2
.588
08/12/35
2,146,342‌
16,225,000
g
BNP
Paribas
S.A.
7
.750
N/A‡
15,704,178‌
7,906,000
g
BNP
Paribas
S.A.
7
.375
N/A‡
7,665,446‌
4,025,000
Citigroup,
Inc
3
.200
10/21/26
3,767,573‌
2,200,000
Citigroup,
Inc
4
.300
11/20/26
2,105,546‌
5,975,000
Citigroup,
Inc
4
.450
09/29/27
5,705,099‌
20,000,000
Citigroup,
Inc
2
.572
06/03/31
16,686,329‌
12,750,000
Citigroup,
Inc
4
.910
05/24/33
12,337,603‌
21,500,000
Citigroup,
Inc
6
.270
11/17/33
22,820,469‌
4,300,000
Citigroup,
Inc
6
.174
05/25/34
4,337,463‌
3,000,000
Citigroup,
Inc
5
.950
N/A‡
2,877,084‌
2,000,000
Citigroup,
Inc
6
.300
N/A‡
1,945,000‌
4,900,000
Citigroup,
Inc
6
.250
N/A‡
4,821,747‌
7,500,000
Citigroup,
Inc
4
.000
N/A‡
6,403,125‌
6,315,000
g
Cooperatieve
Rabobank
UA
1
.339
06/24/26
5,774,729‌
4,175,000
Cooperatieve
Rabobank
UA
3
.750
07/21/26
3,897,854‌
12,000,000
g
Credit
Agricole
S.A.
8
.125
N/A‡
12,017,952‌
1,525,000
g
DBS
Group
Holdings
Ltd
4
.520
12/11/28
1,513,760‌
3,150,000
g
Development
Bank
of
Kazakhstan
JSC
2
.950
05/06/31
2,488,500‌
4,200,000
Discover
Bank
2
.450
09/12/24
3,977,476‌
5,400,000
Discover
Bank
3
.450
07/27/26
4,970,223‌
2,275,000
Discover
Bank
2
.700
02/06/30
1,835,437‌
1,675,000
g
Grupo
Aval
Ltd
4
.375
02/04/30
1,314,096‌
2,160,000
g
Hana
Bank
3
.500
N/A‡
1,926,944‌
4,535,000
HSBC
Holdings
plc
1
.645
04/18/26
4,177,153‌
625,000
HSBC
Holdings
plc
3
.900
05/25/26
595,562‌
11,915,000
HSBC
Holdings
plc
4
.292
09/12/26
11,458,774‌
14,500,000
HSBC
Holdings
plc
2
.251
11/22/27
12,866,006‌
1,850,000
HSBC
Holdings
plc
2
.013
09/22/28
1,585,271‌
6,800,000
HSBC
Holdings
plc
7
.390
11/03/28
7,176,605‌
3,850,000
HSBC
Holdings
plc
3
.973
05/22/30
3,457,237‌
2,430,000
HSBC
Holdings
plc
2
.848
06/04/31
2,015,799‌
590,000
HSBC
Holdings
plc
6
.800
06/01/38
595,769‌
10,000,000
HSBC
Holdings
plc
8
.000
N/A‡
9,927,549‌
360,000
Huntington
Bancshares,
Inc
4
.000
05/15/25
345,077‌
2,875,000
g
ICICI
Bank
Ltd
3
.800
12/14/27
2,675,202‌
8,225,000
g
ING
Groep
NV
1
.400
07/01/26
7,488,590‌
400,000
ING
Groep
NV
3
.950
03/29/27
378,802‌
3,000,000
g
Intercorp
Financial
Services,
Inc
4
.125
10/19/27
2,694,372‌
8,150,000
JPMorgan
Chase
&
Co
2
.301
10/15/25
7,766,228‌
2,500,000
JPMorgan
Chase
&
Co
3
.200
06/15/26
2,382,147‌
3,525,000
JPMorgan
Chase
&
Co
4
.323
04/26/28
3,402,454‌
Core
Bond
Fund
June
30,
2023
158
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
10,905,000
JPMorgan
Chase
&
Co
3
.702
%
05/06/30
$
9,993,654‌
22,460,000
JPMorgan
Chase
&
Co
1
.953
02/04/32
17,895,894‌
10,000,000
JPMorgan
Chase
&
Co
4
.912
07/25/33
9,771,735‌
13,000,000
JPMorgan
Chase
&
Co
5
.350
06/01/34
13,103,603‌
3,275,000
JPMorgan
Chase
&
Co
2
.525
11/19/41
2,252,763‌
14,550,000
JPMorgan
Chase
&
Co
3
.157
04/22/42
10,983,788‌
700,000
JPMorgan
Chase
&
Co
4
.260
02/22/48
603,991‌
7,380,000
JPMorgan
Chase
&
Co
3
.650
N/A‡
6,495,507‌
6,535,000
JPMorgan
Chase
&
Co
5
.000
N/A‡
6,383,878‌
13,200,000
JPMorgan
Chase
&
Co
6
.100
N/A‡
13,169,640‌
8,100,000
e
Lloyds
Banking
Group
plc
6
.750
N/A‡
7,413,219‌
9,800,000
Lloyds
Banking
Group
plc
7
.500
N/A‡
9,164,470‌
7,150,000
M&T
Bank
Corp
3
.500
N/A‡
4,769,092‌
7,200,000
Mitsubishi
UFJ
Financial
Group,
Inc
2
.193
02/25/25
6,784,947‌
2,070,000
Mitsubishi
UFJ
Financial
Group,
Inc
1
.412
07/17/25
1,895,247‌
3,000,000
g
Mizrahi
Tefahot
Bank
Ltd
3
.077
04/07/31
2,615,760‌
2,900,000
NatWest
Group
plc
5
.516
09/30/28
2,842,695‌
8,000,000
g
NBK
SPC
Ltd
1
.625
09/15/27
7,121,280‌
3,000,000
g
NBK
Tier  Financing
Ltd
3
.625
N/A‡
2,594,040‌
5,470,000
g
Nordea
Bank
Abp
6
.625
N/A‡
5,157,061‌
4,720,000
PNC
Bank
NA
2
.700
10/22/29
3,944,187‌
1,500,000
PNC
Financial
Services
Group,
Inc
3
.900
04/29/24
1,472,595‌
4,105,000
PNC
Financial
Services
Group,
Inc
3
.400
N/A‡
3,027,438‌
6,000,000
PNC
Financial
Services
Group,
Inc
6
.200
N/A‡
5,592,900‌
2,500,000
e,i
PNC
Financial
Services
Group,
Inc
LIBOR
3
M
+
3.678%
3
.804
N/A‡
2,497,496‌
3,500,000
g
Societe
Generale
S.A.
4
.027
01/21/43
2,334,733‌
4,600,000
Sumitomo
Mitsui
Financial
Group,
Inc
1
.474
07/08/25
4,224,480‌
5,100,000
Toronto-Dominion
Bank
4
.285
09/13/24
5,009,022‌
1,300,000
Toronto-Dominion
Bank
3
.625
09/15/31
1,199,421‌
5,000,000
Truist
Bank
3
.689
08/02/24
4,985,609‌
1,960,000
Truist
Bank
2
.250
03/11/30
1,557,239‌
1,960,000
Truist
Financial
Corp
1
.200
08/05/25
1,776,091‌
7,000,000
Truist
Financial
Corp
4
.950
N/A‡
6,475,000‌
4,500,000
Truist
Financial
Corp
5
.100
N/A‡
3,892,500‌
1,500,000
g
Turkiye
Garanti
Bankasi
AS.
7
.177
05/24/27
1,368,930‌
3,000,000
g
Turkiye
Vakiflar
Bankasi
TAO
6
.500
01/08/26
2,782,500‌
1,550,000
g
Turkiye
Vakiflar
Bankasi
TAO
5
.500
10/01/26
1,364,403‌
6,300,000
UniCredit
SpA
8
.000
N/A‡
6,158,628‌
3,000,000
g
United
Overseas
Bank
Ltd
1
.250
04/14/26
2,694,838‌
1,400,000
g
United
Overseas
Bank
Ltd
3
.750
04/15/29
1,371,552‌
3,700,000
g
United
Overseas
Bank
Ltd
2
.000
10/14/31
3,248,581‌
3,400,000
US
Bancorp
4
.839
02/01/34
3,175,693‌
1,600,000
Wells
Fargo
&
Co
3
.750
01/24/24
1,581,550‌
3,425,000
Wells
Fargo
&
Co
3
.550
09/29/25
3,282,693‌
9,300,000
Wells
Fargo
&
Co
3
.526
03/24/28
8,680,150‌
10,475,000
Wells
Fargo
&
Co
2
.393
06/02/28
9,334,595‌
8,000,000
Wells
Fargo
&
Co
5
.900
N/A‡
7,890,000‌
10,575,000
Wells
Fargo
&
Co
3
.900
N/A‡
9,310,230‌
9,500,000
Wells
Fargo
&
Co
5
.875
N/A‡
9,309,033‌
3,020,000
Westpac
Banking
Corp
2
.668
11/15/35
2,317,507‌
TOTAL
BANKS
775,548,594‌
CAPITAL
GOODS
-
1
.0
%
4,500,000
g
AerCap
Global
Aviation
6
.500
06/15/45
4,349,604‌
1,354,000
Air
Lease
Corp
3
.000
02/01/30
1,132,248‌
3,140,000
Air
Lease
Corp
3
.125
12/01/30
2,615,709‌
2,430,000
g
Airbus
SE
3
.150
04/10/27
2,273,372‌
650,000
g
BAE
Systems
plc
1
.900
02/15/31
521,889‌
17,400,000
Boeing
Co
2
.196
02/04/26
15,969,863‌
1,350,000
Boeing
Co
3
.250
02/01/28
1,239,364‌
6,900,000
Boeing
Co
2
.950
02/01/30
5,997,233‌
159
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CAPITAL
GOODS—continued
$
3,700,000
Boeing
Co
3
.625
%
02/01/31
$
3,332,441‌
1,825,000
Boeing
Co
3
.250
02/01/35
1,479,762‌
3,600,000
Boeing
Co
5
.705
05/01/40
3,591,025‌
7,000,000
Boeing
Co
5
.805
05/01/50
6,974,456‌
1,160,000
g
Chart
Industries,
Inc
7
.500
01/01/30
1,183,496‌
975,000
g
Chart
Industries,
Inc
9
.500
01/01/31
1,034,488‌
3,075,000
g
H&E
Equipment
Services,
Inc
3
.875
12/15/28
2,662,274‌
500,000
Ingersoll-Rand
Global
Holding
Co
Ltd
3
.750
08/21/28
473,434‌
3,750,000
Ingersoll-Rand
Luxembourg
Finance
S.A.
3
.800
03/21/29
3,532,804‌
7,145,000
John
Deere
Capital
Corp
2
.000
06/17/31
5,876,851‌
850,000
Lockheed
Martin
Corp
1
.850
06/15/30
707,203‌
5,775,000
Northrop
Grumman
Corp
3
.250
01/15/28
5,385,645‌
248,000
Raytheon
Technologies
Corp
3
.650
08/16/23
247,379‌
10,675,000
Raytheon
Technologies
Corp
4
.125
11/16/28
10,281,467‌
5,600,000
Raytheon
Technologies
Corp
5
.150
02/27/33
5,676,543‌
5,000,000
Raytheon
Technologies
Corp
4
.500
06/01/42
4,602,330‌
3,000,000
g
TSMC
Global
Ltd
0
.750
09/28/25
2,699,932‌
2,000,000
g
TSMC
Global
Ltd
1
.000
09/28/27
1,695,240‌
3,000,000
g
TSMC
Global
Ltd
1
.750
04/23/28
2,583,213‌
425,000
g
WESCO
Distribution,
Inc
7
.250
06/15/28
433,524‌
TOTAL
CAPITAL
GOODS
98,552,789‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.3
%
1,655,000
g
ADT
Corp
4
.875
07/15/32
1,415,025‌
1,000,000
AECOM
5
.125
03/15/27
967,570‌
1,395,000
g
Albion
Financing
1
SARL
6
.125
10/15/26
1,311,300‌
5,000,000
g
Allied
Universal
Holdco
LLC
6
.625
07/15/26
4,744,717‌
325,000
g
ASGN,
Inc
4
.625
05/15/28
294,021‌
925,000
g
Booz
Allen
Hamilton,
Inc
3
.875
09/01/28
836,626‌
370,000
g
Booz
Allen
Hamilton,
Inc
4
.000
07/01/29
331,426‌
1,000,000
g
Garda
World
Security
Corp
4
.625
02/15/27
915,001‌
745,000
g
Garda
World
Security
Corp
7
.750
02/15/28
739,503‌
150,000
g
GFL
Environmental,
Inc
4
.250
06/01/25
144,751‌
1,000,000
g
GFL
Environmental,
Inc
3
.750
08/01/25
951,369‌
125,000
g
GFL
Environmental,
Inc
5
.125
12/15/26
120,598‌
3,150,000
g
GFL
Environmental,
Inc
3
.500
09/01/28
2,803,451‌
155,000
g
Iron
Mountain,
Inc
7
.000
02/15/29
155,261‌
2,125,000
g
Prime
Security
Services
Borrower
LLC
5
.750
04/15/26
2,085,959‌
1,300,000
g
Prime
Security
Services
Borrower
LLC
3
.375
08/31/27
1,146,569‌
2,655,000
g
Prime
Security
Services
Borrower
LLC
6
.250
01/15/28
2,487,208‌
2,225,000
Republic
Services,
Inc
2
.900
07/01/26
2,084,961‌
420,000
g
Ritchie
Bros
Auctioneers,
Inc
6
.750
03/15/28
423,326‌
645,000
g
Ritchie
Bros
Auctioneers,
Inc
7
.750
03/15/31
669,140‌
420,000
Verisk
Analytics,
Inc
3
.625
05/15/50
308,833‌
1,235,000
Waste
Management,
Inc
1
.500
03/15/31
983,629‌
1,500,000
Waste
Management,
Inc
2
.500
11/15/50
958,421‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
26,878,665‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.5
%
2,670,000
g
Asbury
Automotive
Group,
Inc
4
.625
11/15/29
2,369,955‌
755,000
g
Asbury
Automotive
Group,
Inc
5
.000
02/15/32
657,375‌
3,275,000
AutoZone,
Inc
1
.650
01/15/31
2,555,660‌
2,200,000
Genuine
Parts
Co
2
.750
02/01/32
1,805,234‌
550,000
g
Group
1
Automotive,
Inc
4
.000
08/15/28
484,335‌
1,645,000
e,g
Hanesbrands,
Inc
9
.000
02/15/31
1,657,940‌
4,500,000
g,q
JSM
Global
Sarl
4
.750
10/20/30
780,750‌
1,000,000
Kohl's
Corp
4
.625
05/01/31
695,780‌
925,000
g
L
Brands,
Inc
6
.625
10/01/30
892,984‌
800,000
g
LCM
Investments
Holdings
II
LLC
4
.875
05/01/29
684,593‌
850,000
g
Lithia
Motors,
Inc
4
.625
12/15/27
793,985‌
1,950,000
e,g
Macy's
Retail
Holdings
LLC
5
.875
04/01/29
1,779,375‌
Core
Bond
Fund
June
30,
2023
160
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL—continued
$
2,450,000
g
Macy's
Retail
Holdings
LLC
6
.125
%
03/15/32
$
2,143,431‌
4,900,000
g
Magic
Mergeco,
Inc
5
.250
05/01/28
3,958,906‌
437,000
g
Myriad
International
Holdings
BV
4
.850
07/06/27
418,078‌
4,215,000
O'Reilly
Automotive,
Inc
3
.550
03/15/26
4,036,283‌
2,175,000
O'Reilly
Automotive,
Inc
3
.600
09/01/27
2,058,100‌
2,100,000
O'Reilly
Automotive,
Inc
4
.200
04/01/30
1,982,748‌
9,530,000
O'Reilly
Automotive,
Inc
1
.750
03/15/31
7,499,235‌
1,425,000
g
Prosus
NV
4
.193
01/19/32
1,199,984‌
1,675,000
g
Prosus
NV
4
.987
01/19/52
1,208,040‌
4,950,000
g
Staples,
Inc
7
.500
04/15/26
4,088,269‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
43,751,040‌
CONSUMER
DURABLES
&
APPAREL
-
0
.1
%
5,000,000
Lennar
Corp
5
.000
06/15/27
4,898,693‌
219,000
Newell
Brands,
Inc
4
.875
06/01/25
211,237‌
1,175,000
Newell
Brands,
Inc
6
.375
09/15/27
1,125,189‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
6,235,119‌
CONSUMER
SERVICES
-
0
.3
%
2,000,000
g
CDI
Escrow
Issuer,
Inc
5
.750
04/01/30
1,861,636‌
3,285,000
g
Churchill
Downs,
Inc
6
.750
05/01/31
3,248,044‌
2,300,000
g
ENA
Master
Trust
4
.000
05/19/48
1,720,274‌
125,000
g
Hilton
Domestic
Operating
Co,
Inc
5
.750
05/01/28
123,089‌
2,200,000
g
Hilton
Domestic
Operating
Co,
Inc
3
.625
02/15/32
1,834,221‌
8,800,000
Hyatt
Hotels
Corp
1
.300
10/01/23
8,719,290‌
400,000
g
International
Game
Technology
plc
4
.125
04/15/26
379,860‌
540,000
g
International
Game
Technology
plc
6
.250
01/15/27
537,975‌
425,000
e,g
Marriott
Ownership
Resorts,
Inc
4
.500
06/15/29
366,803‌
3,550,000
e
McDonald's
Corp
4
.600
09/09/32
3,516,250‌
1,000,000
g
NCL
Corp
Ltd
5
.875
03/15/26
935,564‌
1,000,000
g
NCL
Corp
Ltd
8
.375
02/01/28
1,044,944‌
2,335,000
Sands
China
Ltd
2
.800
03/08/27
2,026,717‌
1,400,000
Sands
China
Ltd
5
.900
08/08/28
1,334,460‌
3,000,000
e,g
Transnet
SOC
Ltd
8
.250
02/06/28
2,913,750‌
1,175,000
g
Wynn
Macau
Ltd
5
.625
08/26/28
1,025,187‌
TOTAL
CONSUMER
SERVICES
31,588,064‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0
.3
%
3,505,000
g
Albertsons
Cos,
Inc
6
.500
02/15/28
3,510,818‌
3,975,000
Costco
Wholesale
Corp
1
.600
04/20/30
3,309,247‌
3,000,000
Kroger
Co
3
.875
10/15/46
2,304,235‌
730,000
SYSCO
Corp
3
.750
10/01/25
705,865‌
3,700,000
SYSCO
Corp
3
.150
12/14/51
2,563,338‌
3,775,000
e
Target
Corp
4
.400
01/15/33
3,670,102‌
3,600,000
Walmart,
Inc
1
.050
09/17/26
3,214,181‌
294,000
Walmart,
Inc
2
.375
09/24/29
259,882‌
5,155,000
Walmart,
Inc
1
.800
09/22/31
4,280,138‌
3,900,000
Walmart,
Inc
2
.500
09/22/41
2,902,429‌
5,150,000
Walmart,
Inc
4
.500
04/15/53
5,022,657‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
31,742,892‌
ENERGY
-
3
.2
%
2,500,000
g
Antero
Midstream
Partners
LP
5
.750
01/15/28
2,383,223‌
1,875,000
g
Archrock
Partners
LP
6
.250
04/01/28
1,760,362‌
875,000
Cenovus
Energy,
Inc
2
.650
01/15/32
706,314‌
3,980,000
Cenovus
Energy,
Inc
5
.400
06/15/47
3,602,889‌
4,250,000
Cheniere
Energy
Partners
LP
3
.250
01/31/32
3,496,262‌
300,000
Chevron
USA,
Inc
3
.900
11/15/24
294,931‌
1,440,000
g
Civitas
Resources,
Inc
8
.375
07/01/28
1,456,272‌
875,000
g
Civitas
Resources,
Inc
8
.750
07/01/31
887,075‌
2,000,000
g
Cosan
Ltd
5
.500
09/20/29
1,809,913‌
161
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
3,750,000
Diamondback
Energy,
Inc
3
.125
%
03/24/31
$
3,212,167‌
2,625,000
Diamondback
Energy,
Inc
4
.250
03/15/52
2,013,365‌
1,790,000
g
DT
Midstream,
Inc
4
.125
06/15/29
1,570,860‌
1,490,000
g
DT
Midstream,
Inc
4
.375
06/15/31
1,283,266‌
2,500,000
Ecopetrol
S.A.
5
.375
06/26/26
2,392,525‌
1,050,000
Ecopetrol
S.A.
6
.875
04/29/30
957,875‌
2,275,000
Ecopetrol
S.A.
4
.625
11/02/31
1,756,140‌
2,675,000
g
Empresa
Nacional
del
Petroleo
3
.450
09/16/31
2,231,218‌
6,875,000
Enbridge,
Inc
5
.700
03/08/33
6,969,404‌
1,960,000
Enbridge,
Inc
2
.500
08/01/33
1,530,668‌
10,350,000
Enbridge,
Inc
5
.750
07/15/80
9,347,387‌
2,424,000
g
Energean
Israel
Finance
Ltd
4
.875
03/30/26
2,249,375‌
1,450,000
g,h
Energean
Israel
Finance
Ltd
8
.500
09/30/33
1,450,000‌
8,600,000
Energy
Transfer
LP
5
.750
02/15/33
8,656,296‌
2,440,000
Energy
Transfer
Operating
LP
2
.900
05/15/25
2,311,853‌
2,675,000
Energy
Transfer
Operating
LP
4
.750
01/15/26
2,614,954‌
1,670,000
Energy
Transfer
Operating
LP
5
.500
06/01/27
1,660,948‌
8,000,000
Energy
Transfer
Operating
LP
5
.250
04/15/29
7,809,938‌
1,235,000
Energy
Transfer
Operating
LP
3
.750
05/15/30
1,114,351‌
4,100,000
Energy
Transfer
Operating
LP
6
.250
04/15/49
4,004,382‌
4,625,000
Energy
Transfer
Operating
LP
5
.000
05/15/50
3,906,104‌
500,000
g
EnLink
Midstream
LLC
5
.625
01/15/28
483,842‌
745,000
g
EnLink
Midstream
LLC
6
.500
09/01/30
744,092‌
1,250,000
Enterprise
Products
Operating
LLC
3
.700
02/15/26
1,205,174‌
3,707,000
Enterprise
Products
Operating
LLC
3
.125
07/31/29
3,321,634‌
900,000
Enterprise
Products
Operating
LLC
2
.800
01/31/30
787,930‌
1,425,000
Enterprise
Products
Operating
LLC
4
.250
02/15/48
1,207,083‌
2,300,000
Enterprise
Products
Operating
LLC
4
.200
01/31/50
1,922,276‌
7,350,000
Enterprise
Products
Operating
LLC
3
.700
01/31/51
5,623,004‌
4,575,000
Enterprise
Products
Operating
LLC
3
.200
02/15/52
3,213,298‌
6,575,000
Enterprise
Products
Operating
LLC
3
.300
02/15/53
4,691,643‌
276,000
g
EQM
Midstream
Partners
LP
6
.000
07/01/25
272,953‌
1,200,000
g
EQM
Midstream
Partners
LP
6
.500
07/01/27
1,183,525‌
1,900,000
g
EQM
Midstream
Partners
LP
4
.500
01/15/29
1,694,597‌
850,000
g
EQT
Corp
3
.125
05/15/26
781,498‌
2,661,300
g
Galaxy
Pipeline
Assets
Bidco
Ltd
2
.160
03/31/34
2,258,549‌
2,750,000
g
Galaxy
Pipeline
Assets
Bidco
Ltd
2
.625
03/31/36
2,218,911‌
1,100,000
Genesis
Energy
LP
6
.500
10/01/25
1,083,274‌
3,000,000
Genesis
Energy
LP
8
.000
01/15/27
2,925,304‌
1,450,000
g
Hilcorp
Energy
I
LP
5
.750
02/01/29
1,312,958‌
1,450,000
g
Hilcorp
Energy
I
LP
6
.000
02/01/31
1,292,497‌
475,000
g
Holly
Energy
Partners
LP
6
.375
04/15/27
469,216‌
1,200,000
g
KazMunayGas
National
Co
JSC
5
.375
04/24/30
1,113,040‌
3,500,000
g
KazMunayGas
National
Co
JSC
3
.500
04/14/33
2,709,784‌
3,700,000
Kinder
Morgan
Energy
Partners
LP
5
.800
03/15/35
3,650,421‌
1,250,000
Kinder
Morgan
Energy
Partners
LP
5
.400
09/01/44
1,108,210‌
1,325,000
g
Kosmos
Energy
Ltd
7
.750
05/01/27
1,132,947‌
1,525,000
g
Leviathan
Bond
Ltd
6
.125
06/30/25
1,485,518‌
5,000,000
Marathon
Petroleum
Corp
4
.700
05/01/25
4,905,669‌
13,040,000
Marathon
Petroleum
Corp
3
.800
04/01/28
12,138,189‌
1,000,000
Marathon
Petroleum
Corp
4
.750
09/15/44
836,354‌
2,750,000
Marathon
Petroleum
Corp
5
.000
09/15/54
2,267,734‌
5,000,000
g
MEG
Energy
Corp
5
.875
02/01/29
4,702,078‌
4,475,000
MPLX
LP
1
.750
03/01/26
4,062,057‌
16,235,000
MPLX
LP
2
.650
08/15/30
13,583,045‌
2,935,000
MPLX
LP
4
.700
04/15/48
2,408,957‌
642,000
Murphy
Oil
Corp
5
.875
12/01/27
623,693‌
1,200,000
q
NAK
Naftogaz
Ukraine
via
Kondor
Finance
plc
7
.375
07/19/24
678,000‌
7,735,000
g
Northern
Natural
Gas
Co
3
.400
10/16/51
5,266,315‌
325,000
e
Occidental
Petroleum
Corp
5
.500
12/01/25
320,863‌
475,000
Occidental
Petroleum
Corp
5
.550
03/15/26
468,944‌
Core
Bond
Fund
June
30,
2023
162
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
5,000,000
Occidental
Petroleum
Corp
3
.500
%
08/15/29
$
4,294,950‌
2,000,000
Occidental
Petroleum
Corp
6
.600
03/15/46
2,059,100‌
1,450,000
g
Oleoducto
Central
S.A.
4
.000
07/14/27
1,270,259‌
3,414,000
ONEOK,
Inc
4
.350
03/15/29
3,174,532‌
7,750,000
ONEOK,
Inc
4
.500
03/15/50
5,916,716‌
2,000,000
g
Parkland
Corp
4
.500
10/01/29
1,735,000‌
1,260,000
g
Parkland
Corp
4
.625
05/01/30
1,092,489‌
6,200,000
g
Pertamina
Persero
PT
1
.400
02/09/26
5,598,077‌
850,000
e,g
Pertamina
Persero
PT
3
.650
07/30/29
784,287‌
1,667,000
e
Petrobras
Global
Finance
BV
5
.999
01/27/28
1,664,241‌
1,200,000
Petrobras
Global
Finance
BV
6
.900
03/19/49
1,107,288‌
767,000
g
Petroleos
del
Peru
S.A.
4
.750
06/19/32
586,507‌
2,700,000
Petroleos
Mexicanos
5
.950
01/28/31
1,972,487‌
6,244,000
Petroleos
Mexicanos
6
.700
02/16/32
4,747,653‌
3,000,000
Petroleos
Mexicanos
7
.690
01/23/50
2,033,502‌
2,950,000
g
Petronas
Energy
Canada
Ltd
2
.112
03/23/28
2,620,255‌
15,790,000
Phillips
66
2
.150
12/15/30
12,884,457‌
2,400,000
Phillips
66
3
.300
03/15/52
1,645,249‌
860,000
Phillips
66
Co
3
.150
12/15/29
750,333‌
775,000
Phillips
66
Co
4
.680
02/15/45
660,903‌
3,000,000
g
Qatar
Petroleum
2
.250
07/12/31
2,513,916‌
654,000
Regency
Energy
Partners
LP
4
.500
11/01/23
651,337‌
1,150,000
g
S.A.
Global
Sukuk
Ltd
0
.946
06/17/24
1,094,299‌
8,670,000
Sabine
Pass
Liquefaction
LLC
5
.875
06/30/26
8,740,973‌
6,365,000
Sabine
Pass
Liquefaction
LLC
4
.500
05/15/30
6,050,329‌
1,825,000
g
Santos
Finance
Ltd
3
.649
04/29/31
1,515,094‌
3,175,000
g
Saudi
Arabian
Oil
Co
2
.250
11/24/30
2,641,244‌
1,365,000
Shell
International
Finance
BV
3
.125
11/07/49
992,256‌
1,975,000
Sunoco
Logistics
Partners
Operations
LP
4
.000
10/01/27
1,849,386‌
450,000
Sunoco
Logistics
Partners
Operations
LP
5
.400
10/01/47
396,618‌
1,150,000
Sunoco
LP
4
.500
05/15/29
1,020,269‌
2,525,000
Targa
Resources
Corp
4
.200
02/01/33
2,234,974‌
300,000
Targa
Resources
Partners
LP
6
.500
07/15/27
297,827‌
4,000,000
g
Thaioil
Treasury
Center
Co
Ltd
2
.500
06/18/30
3,258,400‌
1,450,000
Total
Capital
International
S.A.
2
.986
06/29/41
1,103,845‌
5,550,000
Total
Capital
International
S.A.
3
.127
05/29/50
4,030,469‌
7,835,000
TransCanada
Trust
5
.500
09/15/79
6,720,471‌
1,110,000
g
Transocean,
Inc
8
.750
02/15/30
1,126,650‌
834,000
g
Tullow
Oil
plc
10
.250
05/15/26
633,832‌
2,260,000
USA
Compression
Partners
LP
6
.875
04/01/26
2,213,883‌
500,000
USA
Compression
Partners
LP
6
.875
09/01/27
477,447‌
2,205,000
g
Venture
Global
LNG,
Inc
8
.125
06/01/28
2,239,475‌
7,050,000
Williams
Cos,
Inc
2
.600
03/15/31
5,842,787‌
5,550,000
Williams
Cos,
Inc
5
.650
03/15/33
5,623,538‌
TOTAL
ENERGY
307,462,997‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
0
.1
%
5,370,000
American
Tower
Corp
1
.500
01/31/28
4,505,140‌
2,000,000
Camden
Property
Trust
4
.250
01/15/24
1,981,186‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
6,486,326‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
1
.8
%
6,850,000
Agree
LP
2
.000
06/15/28
5,699,949‌
5,450,000
Alexandria
Real
Estate
Equities,
Inc
3
.450
04/30/25
5,214,402‌
450,000
Alexandria
Real
Estate
Equities,
Inc
3
.950
01/15/27
426,458‌
675,000
Alexandria
Real
Estate
Equities,
Inc
3
.950
01/15/28
628,957‌
2,775,000
Alexandria
Real
Estate
Equities,
Inc
4
.900
12/15/30
2,685,802‌
1,900,000
Alexandria
Real
Estate
Equities,
Inc
1
.875
02/01/33
1,388,478‌
2,700,000
American
Tower
Corp
2
.950
01/15/25
2,582,153‌
600,000
American
Tower
Corp
3
.375
10/15/26
559,885‌
1,200,000
American
Tower
Corp
3
.600
01/15/28
1,104,827‌
163
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)—continued
$
5,800,000
American
Tower
Corp
3
.800
%
08/15/29
$
5,291,248‌
6,950,000
American
Tower
Corp
2
.900
01/15/30
5,994,380‌
1,375,000
American
Tower
Corp
2
.100
06/15/30
1,110,346‌
890,000
American
Tower
Corp
1
.875
10/15/30
702,247‌
1,125,000
Brandywine
Operating
Partnership
LP
4
.100
10/01/24
1,079,487‌
2,225,000
Brixmor
Operating
Partnership
LP
3
.850
02/01/25
2,127,958‌
8,206,000
Brixmor
Operating
Partnership
LP
2
.250
04/01/28
6,893,204‌
400,000
Crown
Castle
International
Corp
3
.650
09/01/27
373,865‌
7,625,000
Crown
Castle
International
Corp
2
.250
01/15/31
6,214,683‌
3,130,000
Crown
Castle
International
Corp
2
.100
04/01/31
2,503,411‌
2,900,000
CubeSmart
LP
2
.250
12/15/28
2,443,714‌
1,474,000
CubeSmart
LP
2
.000
02/15/31
1,152,606‌
1,525,000
e
Digital
Realty
Trust
LP
3
.600
07/01/29
1,354,529‌
7,735,000
Essential
Properties
LP
2
.950
07/15/31
5,796,637‌
5,000,000
Essex
Portfolio
LP
3
.875
05/01/24
4,908,623‌
3,200,000
Essex
Portfolio
LP
3
.000
01/15/30
2,735,355‌
1,225,000
Federal
Realty
Investment
Trust
1
.250
02/15/26
1,093,690‌
1,675,000
Healthcare
Realty
Holdings
LP
3
.875
05/01/25
1,589,002‌
3,000,000
Healthcare
Realty
Holdings
LP
3
.625
01/15/28
2,654,408‌
1,660,000
Healthcare
Realty
Holdings
LP
2
.400
03/15/30
1,313,676‌
925,000
Healthcare
Realty
Holdings
LP
2
.050
03/15/31
693,296‌
4,125,000
Healthcare
Trust
of
America
Holdings
LP
3
.500
08/01/26
3,795,086‌
6,765,000
Healthcare
Trust
of
America
Holdings
LP
3
.100
02/15/30
5,794,780‌
7,500,000
Highwoods
Realty
LP
3
.875
03/01/27
6,736,759‌
1,025,000
Highwoods
Realty
LP
4
.125
03/15/28
896,334‌
1,350,000
Highwoods
Realty
LP
4
.200
04/15/29
1,136,578‌
8,010,000
Highwoods
Realty
LP
3
.050
02/15/30
6,217,103‌
2,085,000
Highwoods
Realty
LP
2
.600
02/01/31
1,527,956‌
2,275,000
Life
Storage
LP
2
.400
10/15/31
1,802,284‌
1,200,000
Mid-America
Apartments
LP
4
.300
10/15/23
1,193,407‌
1,200,000
Mid-America
Apartments
LP
3
.750
06/15/24
1,176,483‌
1,050,000
Mid-America
Apartments
LP
4
.000
11/15/25
1,015,772‌
7,350,000
Mid-America
Apartments
LP
2
.750
03/15/30
6,367,503‌
6,200,000
Mid-America
Apartments
LP
1
.700
02/15/31
4,893,925‌
1,700,000
Mid-America
Apartments
LP
2
.875
09/15/51
1,093,204‌
625,000
National
Retail
Properties,
Inc
4
.000
11/15/25
594,303‌
1,850,000
National
Retail
Properties,
Inc
3
.600
12/15/26
1,719,618‌
1,075,000
ProLogis
LP
2
.875
11/15/29
940,895‌
1,100,000
Regency
Centers
LP
3
.900
11/01/25
1,036,946‌
950,000
Regency
Centers
LP
3
.600
02/01/27
892,944‌
5,885,000
Regency
Centers
LP
2
.950
09/15/29
5,043,964‌
4,425,000
Retail
Properties
of
America,
Inc
4
.750
09/15/30
3,977,349‌
17,050,000
g
SBA
Tower
Trust
2
.836
01/15/25
16,189,221‌
8,398,000
g
SBA
Tower
Trust
1
.884
01/15/26
7,543,551‌
7,500,000
g
SBA
Tower
Trust
1
.631
11/15/26
6,469,150‌
646,000
SITE
Centers
Corp
3
.625
02/01/25
607,915‌
2,000,000
SITE
Centers
Corp
4
.250
02/01/26
1,873,234‌
2,833,000
SITE
Centers
Corp
4
.700
06/01/27
2,590,779‌
475,000
Weingarten
Realty
Investors
4
.450
01/15/24
471,327‌
1,025,000
Weingarten
Realty
Investors
3
.850
06/01/25
971,991‌
700,000
Weingarten
Realty
Investors
3
.250
08/15/26
647,545‌
1,075,000
Weyerhaeuser
Co
4
.000
03/09/52
857,875‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
174,393,057‌
FINANCIAL
SERVICES
-
2
.5
%
4,900,000
AerCap
Ireland
Capital
DAC
3
.500
01/15/25
4,691,299‌
9,050,000
AerCap
Ireland
Capital
DAC
1
.750
01/30/26
8,123,348‌
5,000,000
AerCap
Ireland
Capital
DAC
3
.875
01/23/28
4,596,869‌
10,075,000
AerCap
Ireland
Capital
DAC
3
.000
10/29/28
8,711,376‌
2,050,000
AerCap
Ireland
Capital
DAC
3
.300
01/30/32
1,677,102‌
1,250,000
AerCap
Ireland
Capital
DAC
3
.850
10/29/41
949,519‌
Core
Bond
Fund
June
30,
2023
164
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
1,250,000
American
Express
Co
3
.700
%
08/03/23
$
1,250,000‌
2,000,000
American
Express
Co
2
.550
03/04/27
1,820,819‌
1,500,000
g
B3
S.A.-Brasil
Bolsa
Balcao
4
.125
09/20/31
1,277,230‌
2,000,000
g
Banco
BTG
Pactual
S.A.
2
.750
01/11/26
1,820,209‌
2,600,000
g
Bangkok
Bank
PCL
3
.466
09/23/36
2,116,058‌
5,705,000
Bank
of
New
York
Mellon
Corp
4
.700
N/A‡
5,540,981‌
455,000
g
BBVA
Bancomer
S.A.
5
.350
11/12/29
437,374‌
3,350,000
g
BBVA
Bancomer
S.A.
5
.125
01/18/33
2,906,922‌
2,490,000
Capital
One
Financial
Corp
3
.750
03/09/27
2,319,267‌
5,490,000
e
Capital
One
Financial
Corp
3
.950
N/A‡
4,076,325‌
10,800,000
Charles
Schwab
Corp
5
.375
N/A‡
10,321,776‌
600,000
g
Compass
Group
Diversified
Holdings
LLC
5
.250
04/15/29
525,911‌
8,325,000
g
Credit
Suisse
Group
AG.
2
.193
06/05/26
7,633,764‌
4,950,000
g
Credit
Suisse
Group
AG.
1
.305
02/02/27
4,325,723‌
4,600,000
g
Credit
Suisse
Group
AG.
6
.442
08/11/28
4,617,015‌
4,050,000
Deutsche
Bank
AG.
5
.371
09/09/27
3,982,347‌
3,750,000
Deutsche
Bank
AG.
2
.311
11/16/27
3,222,515‌
6,400,000
Deutsche
Bank
AG.
6
.000
N/A‡
5,106,560‌
5,330,000
Fiserv,
Inc
3
.500
07/01/29
4,864,881‌
11,270,000
Goldman
Sachs
Group,
Inc
3
.625
02/20/24
11,104,952‌
5,277,000
Goldman
Sachs
Group,
Inc
3
.500
04/01/25
5,069,034‌
5,875,000
Goldman
Sachs
Group,
Inc
1
.093
12/09/26
5,235,424‌
5,600,000
Goldman
Sachs
Group,
Inc
4
.482
08/23/28
5,414,170‌
7,410,000
Goldman
Sachs
Group,
Inc
1
.992
01/27/32
5,833,335‌
7,300,000
Goldman
Sachs
Group,
Inc
2
.615
04/22/32
5,986,870‌
360,000
Goldman
Sachs
Group,
Inc
6
.750
10/01/37
387,196‌
1,900,000
Goldman
Sachs
Group,
Inc
4
.411
04/23/39
1,657,968‌
4,875,000
Goldman
Sachs
Group,
Inc
3
.210
04/22/42
3,601,742‌
725,000
Goldman
Sachs
Group,
Inc
3
.436
02/24/43
551,481‌
500,000
Icahn
Enterprises
LP
4
.750
09/15/24
477,733‌
925,000
Icahn
Enterprises
LP
5
.250
05/15/27
797,720‌
3,800,000
Icahn
Enterprises
LP
4
.375
02/01/29
2,985,660‌
1,100,000
g
Indian
Railway
Finance
Corp
Ltd
3
.249
02/13/30
962,886‌
7,400,000
g
Indian
Railway
Finance
Corp
Ltd
2
.800
02/10/31
6,121,648‌
11,000,000
ING
GROEP
NV
6
.500
N/A‡
10,265,200‌
475,000
Legg
Mason,
Inc
3
.950
07/15/24
463,714‌
3,425,000
g
LPL
Holdings,
Inc
4
.000
03/15/29
3,004,816‌
2,500,000
g
Minejesa
Capital
BV
5
.625
08/10/37
1,956,243‌
1,040,000
Morgan
Stanley
4
.000
07/23/25
1,009,718‌
4,444,000
Morgan
Stanley
2
.188
04/28/26
4,171,618‌
11,950,000
Morgan
Stanley
3
.125
07/27/26
11,190,504‌
2,720,000
Morgan
Stanley
0
.985
12/10/26
2,425,169‌
685,000
Morgan
Stanley
3
.950
04/23/27
648,580‌
9,875,000
Morgan
Stanley
1
.512
07/20/27
8,748,933‌
15,750,000
Morgan
Stanley
5
.250
04/21/34
15,552,309‌
5,000,000
Navient
Corp
5
.000
03/15/27
4,473,111‌
2,000,000
Northern
Trust
Corp
4
.600
N/A‡
1,762,538‌
1,345,000
OneMain
Finance
Corp
3
.500
01/15/27
1,153,929‌
5,000,000
OneMain
Finance
Corp
4
.000
09/15/30
3,850,000‌
2,975,000
g
Power
Finance
Corp
Ltd
3
.950
04/23/30
2,649,343‌
2,000,000
g
Rocket
Mortgage
LLC
4
.000
10/15/33
1,564,480‌
2,070,000
g
Societe
Generale
S.A.
1
.375
07/08/25
1,877,186‌
550,000
Springleaf
Finance
Corp
5
.375
11/15/29
467,581‌
550,000
State
Street
Corp
3
.300
12/16/24
530,774‌
1,650,000
UBS
Group
AG.
3
.750
03/26/25
1,578,884‌
3,500,000
g
UBS
Group
AG.
3
.179
02/11/43
2,429,343‌
580,000
Visa,
Inc
3
.150
12/14/25
555,948‌
3,400,000
Visa,
Inc
2
.700
04/15/40
2,611,831‌
650,000
Voya
Financial,
Inc
5
.700
07/15/43
623,334‌
TOTAL
FINANCIAL
SERVICES
238,668,095‌
165
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOOD,
BEVERAGE
&
TOBACCO
-
1
.3
%
$
3,100,000
g
Anadolu
Efes
Biracilik
Ve
Malt
Sanayii
AS.
3
.375
%
06/29/28
$
2,496,189‌
16,500,000
Anheuser-Busch
Cos
LLC
3
.650
02/01/26
15,981,353‌
6,875,000
Anheuser-Busch
Cos
LLC
4
.700
02/01/36
6,686,726‌
8,910,000
Anheuser-Busch
Cos
LLC
4
.900
02/01/46
8,516,096‌
10,260,000
Anheuser-Busch
InBev
Worldwide,
Inc
4
.750
01/23/29
10,215,434‌
6,250,000
BAT
Capital
Corp
2
.259
03/25/28
5,356,351‌
6,075,000
BAT
Capital
Corp
4
.906
04/02/30
5,742,527‌
12,520,000
BAT
Capital
Corp
2
.726
03/25/31
9,971,955‌
7,200,000
BAT
International
Finance
plc
4
.448
03/16/28
6,796,147‌
1,775,000
g
BRF
S.A.
4
.875
01/24/30
1,443,962‌
3,250,000
g
Cia
Cervecerias
Unidas
S.A.
3
.350
01/19/32
2,770,657‌
3,000,000
g
Coca-Cola
Icecek
AS.
4
.500
01/20/29
2,666,963‌
750,000
Constellation
Brands,
Inc
4
.400
11/15/25
734,458‌
2,775,000
Constellation
Brands,
Inc
3
.700
12/06/26
2,639,785‌
1,150,000
Constellation
Brands,
Inc
3
.150
08/01/29
1,036,570‌
4,540,000
Constellation
Brands,
Inc
2
.875
05/01/30
3,938,326‌
13,700,000
Constellation
Brands,
Inc
2
.250
08/01/31
11,195,347‌
2,750,000
Diageo
Capital
plc
2
.125
10/24/24
2,630,157‌
2,320,000
Diageo
Capital
plc
1
.375
09/29/25
2,133,996‌
4,075,000
Diageo
Capital
plc
2
.375
10/24/29
3,531,925‌
1,950,000
Diageo
Capital
plc
2
.000
04/29/30
1,643,285‌
1,875,000
g
Embotelladora
Andina
S.A.
3
.950
01/21/50
1,453,125‌
2,000,000
g
Grupo
Bimbo
SAB
de
C.V.
4
.700
11/10/47
1,801,710‌
1,500,000
g
NBM
US
Holdings,
Inc
6
.625
08/06/29
1,373,497‌
5,500,000
g
Primo
Water
Holdings,
Inc
4
.375
04/30/29
4,712,675‌
3,250,000
g
Sigma
Alimentos
S.A.
de
C.V.
4
.125
05/02/26
3,099,700‌
6,325,000
g
Ulker
Biskuvi
Sanayi
AS.
6
.950
10/30/25
5,661,634‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
126,230,550‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
1
.5
%
1,200,000
Abbott
Laboratories
5
.300
05/27/40
1,256,157‌
980,000
Advocate
Health
&
Hospitals
Corp
3
.008
06/15/50
670,607‌
9,160,000
Anthem,
Inc
2
.250
05/15/30
7,673,048‌
2,100,000
Boston
Scientific
Corp
2
.650
06/01/30
1,829,667‌
1,640,000
Centene
Corp
2
.450
07/15/28
1,401,800‌
8,310,000
Centene
Corp
3
.000
10/15/30
6,924,698‌
6,250,000
g
CHS/Community
Health
Systems,
Inc
5
.250
05/15/30
4,923,295‌
2,550,000
Cigna
Corp
3
.200
03/15/40
1,960,258‌
495,000
CVS
Health
Corp
3
.875
07/20/25
481,087‌
8,250,000
CVS
Health
Corp
3
.750
04/01/30
7,567,536‌
27,225,000
CVS
Health
Corp
1
.750
08/21/30
21,723,746‌
9,180,000
CVS
Health
Corp
1
.875
02/28/31
7,291,231‌
2,250,000
CVS
Health
Corp
4
.780
03/25/38
2,076,461‌
3,635,000
CVS
Health
Corp
2
.700
08/21/40
2,537,348‌
10,250,000
CVS
Health
Corp
5
.050
03/25/48
9,447,863‌
1,900,000
CVS
Health
Corp
4
.250
04/01/50
1,573,829‌
1,000,000
g
DaVita,
Inc
4
.625
06/01/30
858,478‌
2,625,000
Elevance
Health,
Inc
5
.125
02/15/53
2,545,540‌
1,000,000
HCA,
Inc
5
.375
02/01/25
991,233‌
2,815,000
HCA,
Inc
5
.625
09/01/28
2,817,152‌
5,000,000
HCA,
Inc
3
.500
09/01/30
4,382,748‌
3,475,000
g
HCA,
Inc
3
.625
03/15/32
3,016,329‌
1,900,000
HCA,
Inc
5
.500
06/15/47
1,789,591‌
4,600,000
g
HCA,
Inc
4
.625
03/15/52
3,780,035‌
3,500,000
g
Hologic,
Inc
3
.250
02/15/29
3,062,165‌
1,875,000
Humana,
Inc
3
.950
03/15/27
1,791,747‌
10,100,000
Humana,
Inc
2
.150
02/03/32
7,956,375‌
2,325,000
McKesson
Corp
5
.100
07/15/33
2,333,235‌
1,700,000
g
MPH
Acquisition
Holdings
LLC
5
.500
09/01/28
1,449,129‌
3,375,000
MPT
Operating
Partnership
LP
3
.500
03/15/31
2,325,435‌
225,000
Tenet
Healthcare
Corp
4
.625
06/15/28
210,147‌
Core
Bond
Fund
June
30,
2023
166
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HEALTH
CARE
EQUIPMENT
&
SERVICES—continued
$
5,400,000
e
Tenet
Healthcare
Corp
6
.125
%
10/01/28
$
5,198,580‌
2,500,000
Tenet
Healthcare
Corp
4
.250
06/01/29
2,258,568‌
3,200,000
Tenet
Healthcare
Corp
4
.375
01/15/30
2,887,665‌
1,525,000
UnitedHealth
Group,
Inc
2
.950
10/15/27
1,415,083‌
3,700,000
UnitedHealth
Group,
Inc
2
.000
05/15/30
3,113,696‌
6,185,000
UnitedHealth
Group,
Inc
2
.300
05/15/31
5,229,738‌
1,375,000
UnitedHealth
Group,
Inc
3
.750
10/15/47
1,131,662‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
139,882,962‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.0
%
1,425,000
Church
&
Dwight
Co,
Inc
2
.300
12/15/31
1,175,248‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
1,175,248‌
INSURANCE
-
1
.2
%
2,550,000
g
Acrisure
LLC
4
.250
02/15/29
2,201,149‌
285,000
Aetna,
Inc
6
.625
06/15/36
313,136‌
131,000
Aflac,
Inc
6
.450
08/15/40
137,336‌
3,000,000
g
AIA
Group
Ltd
3
.600
04/09/29
2,776,670‌
825,000
g
Alliant
Holdings
Intermediate
LLC
4
.250
10/15/27
740,349‌
4,360,000
g
Alliant
Holdings
Intermediate
LLC
6
.750
04/15/28
4,323,979‌
325,000
g
AmWINS
Group,
Inc
4
.875
06/30/29
293,470‌
11,160,000
Aon
Corp
2
.800
05/15/30
9,659,174‌
1,450,000
Aon
Corp
5
.350
02/28/33
1,460,564‌
2,790,000
Aon
plc
3
.500
06/14/24
2,729,154‌
4,500,000
AXIS
Specialty
Finance
LLC
4
.900
01/15/40
3,587,303‌
825,000
Berkshire
Hathaway
Finance
Corp
2
.875
03/15/32
726,012‌
9,950,000
Berkshire
Hathaway
Finance
Corp
2
.850
10/15/50
6,923,974‌
1,500,000
Berkshire
Hathaway
Finance
Corp
3
.850
03/15/52
1,239,994‌
1,100,000
CNA
Financial
Corp
3
.950
05/15/24
1,081,316‌
925,000
g
Equitable
Financial
Life
Global
Funding
1
.400
07/07/25
841,499‌
870,000
g
Equitable
Financial
Life
Global
Funding
1
.800
03/08/28
733,722‌
2,300,000
g
Five
Corners
Funding
Trust
4
.419
11/15/23
2,274,731‌
8,225,000
g
Five
Corners
Funding
Trust
II
2
.850
05/15/30
6,986,718‌
2,500,000
g
Hanwha
Life
Insurance
Co
Ltd
3
.379
02/04/32
2,237,341‌
15,431,000
Hartford
Financial
Services
Group,
Inc
2
.800
08/19/29
13,283,846‌
350,000
Hartford
Financial
Services
Group,
Inc
4
.300
04/15/43
285,175‌
1,400,000
Hartford
Financial
Services
Group,
Inc
2
.900
09/15/51
908,599‌
1,450,000
g
Liberty
Mutual
Group,
Inc
3
.951
10/15/50
1,060,440‌
2,900,000
g
Liberty
Mutual
Group,
Inc
5
.500
06/15/52
2,731,161‌
2,850,000
MetLife,
Inc
3
.600
04/10/24
2,807,183‌
600,000
MetLife,
Inc
3
.000
03/01/25
579,238‌
525,000
MetLife,
Inc
3
.600
11/13/25
504,330‌
1,025,000
MetLife,
Inc
5
.000
07/15/52
962,496‌
5,870,000
MetLife,
Inc
3
.850
N/A‡
5,423,763‌
1,000,000
g
NFP
Corp
7
.500
10/01/30
968,205‌
10,175,000
PartnerRe
Finance
B
LLC
4
.500
10/01/50
8,496,125‌
3,500,000
Principal
Financial
Group,
Inc
2
.125
06/15/30
2,838,734‌
3,700,000
g
Protective
Life
Global
Funding
0
.781
07/05/24
3,520,256‌
4,000,000
Prudential
Financial,
Inc
5
.200
03/15/44
3,952,680‌
2,000,000
Prudential
Financial,
Inc
3
.905
12/07/47
1,595,692‌
5,500,000
Prudential
Financial,
Inc
5
.125
03/01/52
4,965,785‌
2,220,000
Reinsurance
Group
of
America,
Inc
3
.900
05/15/29
2,014,212‌
11,300,000
g
Swiss
Re
Finance
Luxembourg
SA
5
.000
04/02/49
10,791,500‌
365,000
Willis
North
America,
Inc
3
.600
05/15/24
356,130‌
TOTAL
INSURANCE
119,313,141‌
MATERIALS
-
1
.4
%
4,375,000
Albemarle
Corp
4
.650
06/01/27
4,260,501‌
1,625,000
g
Alpek
SAB
de
C.V.
4
.250
09/18/29
1,452,344‌
2,000,000
g
Alpek
SAB
de
C.V.
3
.250
02/25/31
1,616,200‌
7,535,000
Amcor
Flexibles
North
America,
Inc
2
.690
05/25/31
6,171,930‌
167
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MATERIALS—continued
$
1,425,000
g
Anglo
American
Capital
plc
3
.875
%
03/16/29
$
1,294,970‌
2,300,000
e,g
Anglo
American
Capital
plc
2
.625
09/10/30
1,897,228‌
2,300,000
AngloGold
Ashanti
Holdings
plc
3
.375
11/01/28
2,013,783‌
5,000,000
AngloGold
Ashanti
Holdings
plc
3
.750
10/01/30
4,291,836‌
1,778,000
g
Antofagasta
plc
2
.375
10/14/30
1,449,206‌
1,600,000
g
Antofagasta
plc
5
.625
05/13/32
1,590,242‌
3,225,000
g
Ardagh
Metal
Packaging
Finance
USA
LLC
3
.250
09/01/28
2,770,171‌
3,570,000
e
Ball
Corp
6
.875
03/15/28
3,640,911‌
1,850,000
Ball
Corp
2
.875
08/15/30
1,535,736‌
370,000
Bemis
Co,
Inc
3
.100
09/15/26
339,685‌
2,725,000
Bemis
Co,
Inc
2
.630
06/19/30
2,266,246‌
10,105,000
Berry
Global,
Inc
1
.570
01/15/26
9,112,034‌
6,100,000
Berry
Global,
Inc
1
.650
01/15/27
5,261,882‌
1,500,000
g
Celulosa
Arauco
y
Constitucion
S.A.
4
.250
04/30/29
1,357,118‌
1,325,000
g
Celulosa
Arauco
y
Constitucion
S.A.
4
.200
01/29/30
1,182,996‌
1,325,000
g
Cemex
SAB
de
C.V.
5
.450
11/19/29
1,277,630‌
2,000,000
g
Cemex
SAB
de
C.V.
3
.875
07/11/31
1,683,809‌
1,500,000
Commercial
Metals
Co
4
.125
01/15/30
1,334,852‌
2,725,000
e,g
Constellium
SE
3
.750
04/15/29
2,318,313‌
3,000,000
g
Corp
Nacional
del
Cobre
de
Chile
3
.000
09/30/29
2,634,735‌
2,000,000
g
Corp
Nacional
del
Cobre
de
Chile
3
.150
01/14/30
1,771,132‌
265,000
DowDuPont,
Inc
4
.493
11/15/25
259,527‌
1,140,000
DowDuPont,
Inc
4
.725
11/15/28
1,121,086‌
2,600,000
g
Equate
Petrochemical
BV
2
.625
04/28/28
2,262,556‌
5,000,000
g
FMG
Resources
August
2006
Pty
Ltd
5
.875
04/15/30
4,761,271‌
800,000
g
Freeport
Indonesia
PT
4
.763
04/14/27
772,132‌
1,860,000
g
Freeport
Indonesia
PT
5
.315
04/14/32
1,754,141‌
1,500,000
g
Fresnillo
plc
4
.250
10/02/50
1,122,750‌
1,250,000
g
Gold
Fields
Orogen
Holdings
BVI
Ltd
6
.125
05/15/29
1,264,169‌
187,000
International
Paper
Co
4
.350
08/15/48
157,936‌
3,000,000
g
Inversiones
CMPC
S.A.
4
.375
04/04/27
2,882,065‌
4,900,000
g
Inversiones
CMPC
S.A.
3
.000
04/06/31
4,050,483‌
675,000
g
James
Hardie
International
Finance
DAC
5
.000
01/15/28
632,415‌
1,785,000
g
Mauser
Packaging
Solutions
Holding
Co
7
.875
08/15/26
1,773,413‌
710,000
g
Midwest
Connector
Capital
Co
LLC
4
.625
04/01/29
648,766‌
2,000,000
g
Mineral
Resources
Ltd
8
.000
11/01/27
1,997,144‌
3,390,000
Newmont
Corp
2
.600
07/15/32
2,769,833‌
2,900,000
g
Nova
Chemicals
Corp
4
.875
06/01/24
2,833,242‌
6,350,000
Nutrien
Ltd
2
.950
05/13/30
5,512,183‌
1,920,000
g
OCI
NV
4
.625
10/15/25
1,830,882‌
1,600,000
g
OCP
S.A.
3
.750
06/23/31
1,321,408‌
2,000,000
Olin
Corp
5
.125
09/15/27
1,907,257‌
2,000,000
g
Orbia
Advance
Corp
SAB
de
C.V.
1
.875
05/11/26
1,792,500‌
480,000
Packaging
Corp
of
America
3
.650
09/15/24
470,070‌
375,000
g
PolyOne
Corp
5
.750
05/15/25
370,448‌
1,750,000
e
Sasol
Financing
USA
LLC
4
.375
09/18/26
1,544,432‌
670,000
g
Sealed
Air
Corp
6
.125
02/01/28
665,061‌
2,000,000
g
Sociedad
Quimica
y
Minera
de
Chile
S.A.
4
.250
05/07/29
1,902,332‌
2,500,000
g
Sociedad
Quimica
y
Minera
de
Chile
S.A.
3
.500
09/10/51
1,765,332‌
2,950,000
g
SunCoke
Energy,
Inc
4
.875
06/30/29
2,477,578‌
2,400,000
Suzano
Austria
GmbH
3
.750
01/15/31
2,048,219‌
5,000,000
Suzano
Austria
GmbH
3
.125
01/15/32
4,001,915‌
4,070,000
g
Tronox,
Inc
4
.625
03/15/29
3,382,305‌
3,675,000
g
UltraTech
Cement
Ltd
2
.800
02/16/31
3,017,700‌
815,000
g
Unifrax
Escrow
Issuer
Corp
5
.250
09/30/28
588,373‌
1,595,000
g,h
Windsor
Holdings
III
LLC
8
.500
06/15/30
1,587,535‌
2,400,000
WRKCo,
Inc
4
.900
03/15/29
2,321,263‌
3,950,000
e
WRKCo,
Inc
3
.000
06/15/33
3,212,203‌
TOTAL
MATERIALS
137,307,415‌
Core
Bond
Fund
June
30,
2023
168
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MEDIA
&
ENTERTAINMENT
-
1
.9
%
$
2,675,000
Activision
Blizzard,
Inc
3
.400
%
09/15/26
$
2,544,804‌
1,850,000
Activision
Blizzard,
Inc
1
.350
09/15/30
1,479,889‌
4,776,336
g
Alfa
Desarrollo
S.p.A
4
.550
09/27/51
3,504,637‌
2,000,000
g
Altice
Financing
S.A.
5
.750
08/15/29
1,549,322‌
3,315,000
g
Arches
Buyer,
Inc
4
.250
06/01/28
2,884,688‌
2,030,000
Baidu,
Inc
1
.625
02/23/27
1,784,093‌
3,100,000
g
BOC
Aviation
USA
Corp
1
.625
04/29/24
2,990,969‌
1,575,000
e,g
Cable
Onda
S.A.
4
.500
01/30/30
1,338,643‌
4,900,000
g
CCO
Holdings
LLC
5
.125
05/01/27
4,563,100‌
2,500,000
g
CCO
Holdings
LLC
4
.500
08/15/30
2,081,728‌
5,000,000
g
CCO
Holdings
LLC
4
.250
02/01/31
4,044,849‌
6,300,000
e
Charter
Communications
Operating
LLC
4
.400
04/01/33
5,529,860‌
5,000,000
Charter
Communications
Operating
LLC
3
.500
03/01/42
3,344,487‌
2,400,000
Charter
Communications
Operating
LLC
5
.125
07/01/49
1,888,136‌
15,750,000
Charter
Communications
Operating
LLC
4
.800
03/01/50
11,883,355‌
9,680,000
Charter
Communications
Operating
LLC
3
.700
04/01/51
6,116,587‌
3,700,000
Comcast
Corp
4
.150
10/15/28
3,584,847‌
15,975,000
e
Comcast
Corp
1
.500
02/15/31
12,707,192‌
4,525,000
Comcast
Corp
3
.200
07/15/36
3,712,152‌
1,000,000
Comcast
Corp
3
.900
03/01/38
868,845‌
21,258,000
Comcast
Corp
2
.887
11/01/51
14,252,564‌
10,186,000
Comcast
Corp
2
.937
11/01/56
6,633,358‌
4,100,000
g
CSC
Holdings
LLC
5
.500
04/15/27
3,411,154‌
5,000,000
g
CSC
Holdings
LLC
3
.375
02/15/31
3,384,452‌
1,225,000
g
CT
Trust
5
.125
02/03/32
983,179‌
985,000
g
DIRECTV
Holdings
LLC
5
.875
08/15/27
892,051‌
1,300,000
g
Electricidad
Firme
de
Mexico
Holdings
S.A.
de
C.V.
4
.900
11/20/26
1,142,375‌
2,375,000
g
ENN
Clean
Energy
International
Investment
Ltd
3
.375
05/12/26
2,199,754‌
4,750,000
g
Genm
Capital
Labuan
Ltd
3
.882
04/19/31
3,840,896‌
2,985,000
Grupo
Televisa
SAB
6
.625
01/15/40
3,096,244‌
3,300,000
GSK
Consumer
Healthcare
Capital
US
LLC
3
.375
03/24/27
3,088,081‌
5,300,000
GSK
Consumer
Healthcare
Capital
US
LLC
3
.625
03/24/32
4,751,133‌
650,000
Lamar
Media
Corp
3
.750
02/15/28
591,656‌
2,000,000
Lamar
Media
Corp
4
.875
01/15/29
1,860,000‌
1,000,000
Lamar
Media
Corp
4
.000
02/15/30
874,948‌
1,675,000
Lamar
Media
Corp
3
.625
01/15/31
1,411,187‌
1,275,000
g
LCPR
Senior
Secured
Financing
DAC
5
.125
07/15/29
1,071,365‌
1,500,000
g
Liberty
Costa
Rica
Senior
Secured
Finance
10
.875
01/15/31
1,484,289‌
2,512,750
g
Mexico
Remittances
Funding
Fiduciary
Estate
Management
Sarl
4
.875
01/15/28
2,258,334‌
825,000
g
News
Corp
3
.875
05/15/29
724,190‌
1,375,000
S&P
Global,
Inc
4
.250
05/01/29
1,336,298‌
2,725,000
g
Sirius
XM
Radio,
Inc
4
.000
07/15/28
2,367,677‌
1,575,000
g
Sirius
XM
Radio,
Inc
4
.125
07/01/30
1,286,074‌
250,000
Time
Warner
Cable
LLC
5
.875
11/15/40
220,537‌
1,275,000
g
Univision
Communications,
Inc
4
.500
05/01/29
1,095,425‌
3,000,000
g
UPC
Broadband
Finco
BV
4
.875
07/15/31
2,469,270‌
2,000,000
g
Venture
Global
Calcasieu
Pass
LLC
4
.125
08/15/31
1,719,933‌
3,900,000
g,i
Vitality
Re
XIV
Ltd
U.S.
Treasury
Bill
3
M
+
3.500%
8
.768
01/05/27
3,993,210‌
2,000,000
g
VZ
Secured
Financing
BV
5
.000
01/15/32
1,610,733‌
110,000
Walt
Disney
Co
7
.625
11/30/28
123,193‌
85,000
Walt
Disney
Co
6
.550
03/15/33
94,454‌
15,000,000
Warnermedia
Holdings,
Inc
3
.755
03/15/27
13,991,494‌
800,000
Warnermedia
Holdings,
Inc
4
.054
03/15/29
731,296‌
11,175,000
Warnermedia
Holdings,
Inc
5
.050
03/15/42
9,419,042‌
2,175,000
Warnermedia
Holdings,
Inc
5
.141
03/15/52
1,770,989‌
2,325,000
Weibo
Corp
3
.375
07/08/30
1,851,024‌
TOTAL
MEDIA
&
ENTERTAINMENT
180,434,042‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
1
.2
%
12,900,000
AbbVie,
Inc
3
.800
03/15/25
12,541,633‌
11,975,000
AbbVie,
Inc
4
.050
11/21/39
10,426,179‌
169
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES—continued
$
13,775,000
Amgen,
Inc
5
.250
%
03/02/33
$
13,792,570‌
10,400,000
Amgen,
Inc
5
.650
03/02/53
10,532,134‌
2,325,000
AstraZeneca
Finance
LLC
1
.200
05/28/26
2,097,948‌
450,000
AstraZeneca
Finance
LLC
2
.250
05/28/31
379,709‌
12,675,000
AstraZeneca
plc
1
.375
08/06/30
10,198,296‌
1,500,000
g
Avantor
Funding,
Inc
4
.625
07/15/28
1,390,384‌
2,040,000
g
Avantor
Funding,
Inc
3
.875
11/01/29
1,786,078‌
3,150,000
Bristol-Myers
Squibb
Co
2
.350
11/13/40
2,213,410‌
3,050,000
Bristol-Myers
Squibb
Co
3
.550
03/15/42
2,528,829‌
1,065,000
Danaher
Corp
2
.800
12/10/51
734,693‌
635,000
Gilead
Sciences,
Inc
4
.000
09/01/36
572,576‌
1,250,000
Johnson
&
Johnson
3
.400
01/15/38
1,089,363‌
2,250,000
Merck
&
Co,
Inc
2
.750
12/10/51
1,551,902‌
4,075,000
Mylan,
Inc
4
.550
04/15/28
3,839,147‌
2,500,000
g
Organon
Finance  LLC
4
.125
04/30/28
2,218,827‌
5,650,000
g
Organon
Finance  LLC
5
.125
04/30/31
4,661,387‌
2,275,000
Pfizer
Investment
Enterprises
Pte
Ltd
4
.750
05/19/33
2,266,428‌
9,075,000
Pfizer
Investment
Enterprises
Pte
Ltd
5
.300
05/19/53
9,435,108‌
8,700,000
Pfizer
Investment
Enterprises
Pte
Ltd
5
.340
05/19/63
8,803,950‌
11,155,000
Takeda
Pharmaceutical
Co
Ltd
2
.050
03/31/30
9,270,370‌
291,000
Teva
Pharmaceutical
Finance
Netherlands
III
BV
2
.800
07/21/23
290,257‌
3,500,000
Teva
Pharmaceutical
Finance
Netherlands
III
BV
3
.150
10/01/26
3,136,160‌
695,000
Teva
Pharmaceutical
Finance
Netherlands
III
BV
4
.750
05/09/27
642,925‌
2,940,000
Viatris,
Inc
1
.650
06/22/25
2,704,884‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
119,105,147‌
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
0
.0
%
1,400,000
Kennedy-Wilson,
Inc
4
.750
03/01/29
1,106,914‌
1,475,000
Kennedy-Wilson,
Inc
5
.000
03/01/31
1,103,898‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
2,210,812‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.4
%
3,900,000
g
Broadcom,
Inc
3
.469
04/15/34
3,199,204‌
1,718,000
g
Broadcom,
Inc
3
.187
11/15/36
1,298,384‌
15,542,000
g
Broadcom,
Inc
4
.926
05/15/37
14,065,575‌
260,000
Intel
Corp
3
.150
05/11/27
243,733‌
1,150,000
Intel
Corp
3
.734
12/08/47
893,982‌
4,735,000
NVIDIA
Corp
2
.000
06/15/31
3,965,638‌
1,650,000
g
NXP
BV
2
.700
05/01/25
1,563,794‌
2,650,000
NXP
BV
3
.875
06/18/26
2,545,459‌
1,975,000
NXP
BV
4
.400
06/01/27
1,909,213‌
1,200,000
NXP
BV
3
.400
05/01/30
1,061,721‌
2,575,000
NXP
BV
3
.125
02/15/42
1,801,379‌
4,300,000
g
SK
Hynix,
Inc
1
.500
01/19/26
3,810,057‌
1,100,000
Texas
Instruments,
Inc
2
.625
05/15/24
1,073,793‌
1,100,000
Texas
Instruments,
Inc
4
.150
05/15/48
999,126‌
4,000,000
Texas
Instruments,
Inc
5
.000
03/14/53
4,052,354‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
42,483,412‌
SOFTWARE
&
SERVICES
-
0
.8
%
11,405,000
Adobe,
Inc
2
.300
02/01/30
10,004,580‌
265,000
g
CA
Magnum
Holdings
5
.375
10/31/26
237,271‌
900,000
g
Gartner,
Inc
3
.750
10/01/30
783,826‌
1,413,000
g
j2
Global,
Inc
4
.625
10/15/30
1,223,824‌
19,000,000
Microsoft
Corp
2
.400
08/08/26
17,831,377‌
1,911,000
Microsoft
Corp
2
.525
06/01/50
1,321,926‌
2,270,000
g
NortonLifeLock,
Inc
6
.750
09/30/27
2,263,609‌
455,000
g
Open
Text
Corp
6
.900
12/01/27
463,204‌
2,830,000
g
Open
Text
Corp
3
.875
12/01/29
2,365,491‌
550,000
g
Open
Text
Holdings,
Inc
4
.125
02/15/30
465,742‌
12,750,000
Oracle
Corp
4
.900
02/06/33
12,376,486‌
Core
Bond
Fund
June
30,
2023
170
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SOFTWARE
&
SERVICES—continued
$
5,425,000
Oracle
Corp
5
.550
%
02/06/53
$
5,253,262‌
3,100,000
Roper
Technologies,
Inc
1
.400
09/15/27
2,672,460‌
13,155,000
Roper
Technologies,
Inc
2
.000
06/30/30
10,751,517‌
5,800,000
salesforce.com,
Inc
2
.700
07/15/41
4,261,288‌
TOTAL
SOFTWARE
&
SERVICES
72,275,863‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
0
.6
%
3,000,000
g
Ahead
DB
Holdings
LLC
6
.625
05/01/28
2,439,810‌
3,450,000
Amphenol
Corp
2
.800
02/15/30
3,021,065‌
8,575,000
Apple,
Inc
2
.450
08/04/26
8,027,085‌
19,975,000
Apple,
Inc
2
.050
09/11/26
18,406,703‌
1,100,000
Apple,
Inc
4
.650
02/23/46
1,085,196‌
1,590,000
Apple,
Inc
2
.650
02/08/51
1,098,285‌
1,865,000
Corning,
Inc
4
.375
11/15/57
1,510,573‌
4,415,000
Dell
International
LLC
5
.300
10/01/29
4,382,811‌
11,625,000
g
Imola
Merger
Corp
4
.750
05/15/29
10,110,327‌
6,000,000
g
Lenovo
Group
Ltd
3
.421
11/02/30
5,056,473‌
975,000
g
Sensata
Technologies
BV
4
.000
04/15/29
868,027‌
525,000
Tyco
Electronics
Group
S.A.
3
.700
02/15/26
506,395‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
56,512,750‌
TELECOMMUNICATION
SERVICES
-
2
.4
%
3,075,000
g
America
Movil
SAB
de
C.V.
5
.375
04/04/32
2,784,971‌
12,477,000
AT&T,
Inc
2
.550
12/01/33
9,800,385‌
2,300,000
AT&T,
Inc
4
.500
05/15/35
2,114,395‌
9,850,000
AT&T,
Inc
3
.500
06/01/41
7,561,691‌
38,800,000
AT&T,
Inc
3
.550
09/15/55
27,162,550‌
12,174,000
AT&T,
Inc
3
.800
12/01/57
8,813,946‌
2,000,000
g
Bharti
Airtel
Ltd
4
.375
06/10/25
1,944,323‌
2,750,000
g
Bharti
Airtel
Ltd
3
.250
06/03/31
2,374,885‌
2,500,000
g
C&W
Senior
Financing
Designated
Activity
Co
6
.875
09/15/27
2,181,250‌
3,850,000
g
Empresa
Nacional
de
Telecomunicaciones
S.A.
3
.050
09/14/32
3,049,200‌
2,500,000
g
Frontier
Communications
Holdings
LLC
5
.875
10/15/27
2,294,403‌
1,925,000
g
Iliad
Holding
SASU
6
.500
10/15/26
1,816,859‌
892,000
g
Iliad
Holding
SASU
7
.000
10/15/28
822,107‌
1,675,000
g
Millicom
International
Cellular
S.A.
4
.500
04/27/31
1,287,405‌
2,500,000
g
MTN
Mauritius
Investment
Ltd
6
.500
10/13/26
2,460,525‌
500,000
Orange
S.A.
5
.375
01/13/42
496,353‌
5,000,000
Telefonica
Emisiones
SAU
5
.213
03/08/47
4,348,694‌
2,990,000
Telefonica
Emisiones
SAU
4
.895
03/06/48
2,495,474‌
3,000,000
g
Telefonica
Moviles
Chile
S.A.
3
.537
11/18/31
2,385,000‌
800,000
T-Mobile
USA,
Inc
2
.250
02/15/26
735,084‌
23,850,000
T-Mobile
USA,
Inc
2
.625
02/15/29
20,714,390‌
19,910,000
T-Mobile
USA,
Inc
3
.875
04/15/30
18,342,458‌
5,800,000
T-Mobile
USA,
Inc
5
.050
07/15/33
5,695,012‌
1,275,000
T-Mobile
USA,
Inc
3
.000
02/15/41
932,164‌
4,545,000
T-Mobile
USA,
Inc
3
.300
02/15/51
3,188,274‌
15,000,000
Verizon
Communications,
Inc
1
.750
01/20/31
11,834,012‌
71,625,000
Verizon
Communications,
Inc
2
.550
03/21/31
59,802,077‌
2,568,000
Verizon
Communications,
Inc
2
.355
03/15/32
2,065,402‌
4,915,000
g
Vmed
O2
UK
Financing
I
plc
4
.750
07/15/31
4,086,815‌
7,735,000
Vodafone
Group
plc
4
.375
02/19/43
6,495,719‌
5,800,000
Vodafone
Group
plc
4
.250
09/17/50
4,650,287‌
TOTAL
TELECOMMUNICATION
SERVICES
224,736,110‌
TRANSPORTATION
-
0
.5
%
1,000,000
g
Adani
Ports
&
Special
Economic
Zone
Ltd
4
.000
07/30/27
847,029‌
800,000
g
Adani
Ports
&
Special
Economic
Zone
Ltd
4
.200
08/04/27
682,917‌
2,300,000
g
Adani
Ports
&
Special
Economic
Zone
Ltd
3
.100
02/02/31
1,609,129‌
1,450,000
g
Aeropuerto
Internacional
de
Tocumen
S.A.
4
.000
08/11/41
1,160,889‌
2,750,000
Burlington
Northern
Santa
Fe
LLC
3
.050
02/15/51
1,948,100‌
171
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TRANSPORTATION—continued
$
6,375,000
Canadian
Pacific
Railway
Co
2
.050
%
03/05/30
$
5,347,615‌
2,950,000
Canadian
Pacific
Railway
Co
3
.100
12/02/51
2,090,838‌
1,000,000
CSX
Corp
2
.600
11/01/26
924,801‌
625,000
CSX
Corp
3
.250
06/01/27
588,093‌
700,000
CSX
Corp
3
.800
03/01/28
666,294‌
9,715,000
CSX
Corp
4
.250
03/15/29
9,404,256‌
1,500,000
g
DP
World
Ltd
5
.625
09/25/48
1,398,390‌
1,950,000
g
Empresa
de
los
Ferrocarriles
del
Estado
3
.068
08/18/50
1,184,625‌
5,000,000
g
Mexico
City
Airport
Trust
5
.500
07/31/47
4,370,227‌
3,260,000
g
Misc
Capital
Two
Labuan
Ltd
3
.750
04/06/27
3,050,844‌
3,000,000
Southwest
Airlines
Co
5
.125
06/15/27
2,976,739‌
5,200,000
Union
Pacific
Corp
2
.891
04/06/36
4,145,885‌
1,175,000
Union
Pacific
Corp
3
.839
03/20/60
934,661‌
3,940,000
g
XPO,
Inc
6
.250
06/01/28
3,873,915‌
TOTAL
TRANSPORTATION
47,205,247‌
UTILITIES
-
3
.1
%
1,609,625
g
Adani
Transmission
Ltd
4
.250
05/21/36
1,215,099‌
1,000,000
AEP
Transmission
Co
LLC
3
.100
12/01/26
936,931‌
1,000,000
AEP
Transmission
Co
LLC
4
.000
12/01/46
838,186‌
1,740,000
AEP
Transmission
Co
LLC
3
.750
12/01/47
1,388,251‌
3,080,000
AEP
Transmission
Co
LLC
2
.750
08/15/51
1,985,218‌
2,925,000
AEP
Transmission
Co
LLC
5
.400
03/15/53
3,006,005‌
725,000
Alabama
Power
Co
4
.150
08/15/44
604,243‌
3,000,000
Alabama
Power
Co
3
.450
10/01/49
2,193,709‌
10,350,000
Alabama
Power
Co
3
.125
07/15/51
7,156,859‌
3,250,000
Ameren
Corp
1
.750
03/15/28
2,783,070‌
12,000,000
Ameren
Illinois
Co
4
.950
06/01/33
11,904,671‌
1,925,000
Ameren
Illinois
Co
5
.900
12/01/52
2,096,252‌
1,650,000
American
Water
Capital
Corp
3
.000
12/01/26
1,528,828‌
3,075,000
American
Water
Capital
Corp
2
.800
05/01/30
2,687,825‌
10,000,000
American
Water
Capital
Corp
2
.300
06/01/31
8,300,717‌
1,400,000
American
Water
Capital
Corp
4
.000
12/01/46
1,129,414‌
1,425,000
American
Water
Capital
Corp
3
.750
09/01/47
1,127,541‌
675,000
American
Water
Capital
Corp
3
.450
05/01/50
502,904‌
760,000
e
American
Water
Capital
Corp
3
.250
06/01/51
551,990‌
2,990,000
Atmos
Energy
Corp
1
.500
01/15/31
2,349,245‌
375,000
Atmos
Energy
Corp
4
.125
10/15/44
315,448‌
2,050,000
Baltimore
Gas
&
Electric
Co
3
.750
08/15/47
1,600,615‌
4,535,000
g
Becle
SAB
de
C.V.
2
.500
10/14/31
3,659,065‌
4,950,000
Berkshire
Hathaway
Energy
Co
3
.250
04/15/28
4,555,906‌
7,137,000
Berkshire
Hathaway
Energy
Co
1
.650
05/15/31
5,534,342‌
1,075,000
Black
Hills
Corp
4
.250
11/30/23
1,067,495‌
850,000
Black
Hills
Corp
3
.150
01/15/27
787,625‌
760,000
Black
Hills
Corp
3
.875
10/15/49
560,304‌
1,200,000
CenterPoint
Energy
Houston
Electric
LLC
3
.000
03/01/32
1,037,754‌
660,000
CenterPoint
Energy
Resources
Corp
6
.250
02/01/37
678,617‌
1,125,000
CMS
Energy
Corp
3
.600
11/15/25
1,063,674‌
2,125,000
g
Colbun
S.A.
3
.150
01/19/32
1,795,625‌
3,000,000
g
Comision
Federal
de
Electricidad
3
.348
02/09/31
2,363,769‌
395,000
Commonwealth
Edison
Co
5
.900
03/15/36
411,710‌
9,470,000
Commonwealth
Edison
Co
3
.000
03/01/50
6,528,990‌
2,750,000
Commonwealth
Edison
Co
2
.750
09/01/51
1,777,022‌
817,000
Consumers
Energy
Co
2
.650
08/15/52
523,505‌
8,000,000
Consumers
Energy
Co
4
.200
09/01/52
6,844,913‌
6,300,000
Dominion
Energy,
Inc
3
.300
04/15/41
4,677,589‌
12,000,000
Dominion
Energy,
Inc
4
.350
N/A‡
10,081,459‌
1,500,000
DTE
Electric
Co
3
.650
03/01/52
1,168,245‌
1,875,000
DTE
Electric
Co
5
.400
04/01/53
1,935,100‌
14,570,000
Duke
Energy
Corp
3
.300
06/15/41
10,732,366‌
3,125,000
Duke
Energy
Corp
3
.750
09/01/46
2,363,822‌
Core
Bond
Fund
June
30,
2023
172
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
3,310,000
Duke
Energy
Progress
LLC
2
.500
%
08/15/50
$
2,054,113‌
2,100,000
Eastern
Energy
Gas
Holdings
LLC
2
.500
11/15/24
2,005,534‌
2,390,000
g
Empresas
Publicas
de
Medellin
ESP
4
.250
07/18/29
1,881,407‌
3,900,000
g
EnfraGen
Energia
Sur
S.A.
5
.375
12/30/30
2,535,000‌
3,500,000
g
ENN
Energy
Holdings
Ltd
2
.625
09/17/30
2,924,859‌
1,000,000
Entergy
Arkansas
LLC
2
.650
06/15/51
622,392‌
3,700,000
Entergy
Corp
0
.900
09/15/25
3,322,976‌
900,000
g
Eskom
Holdings
SOC
Ltd
8
.450
08/10/28
853,715‌
2,525,000
Eversource
Energy
1
.650
08/15/30
2,002,077‌
3,000,000
Eversource
Energy
3
.450
01/15/50
2,197,676‌
1,225,000
Exelon
Corp
4
.050
04/15/30
1,144,734‌
3,025,000
g
Ferrellgas
Escrow
LLC
5
.375
04/01/26
2,813,531‌
3,225,000
g
Ferrellgas
Escrow
LLC
5
.875
04/01/29
2,701,890‌
10,450,000
Florida
Power
&
Light
Co
4
.800
05/15/33
10,374,714‌
2,700,000
Florida
Power
&
Light
Co
3
.990
03/01/49
2,275,850‌
UGX
8,000,000,000
†,g
ICBC
Standard
Bank
plc
14
.250
06/26/34
1,966,648‌
1,150,000
Indiana
Michigan
Power
Co
3
.750
07/01/47
898,132‌
2,865,000
Indiana
Michigan
Power
Co
3
.250
05/01/51
1,994,491‌
6,000,000
g
Israel
Electric
Corp
Ltd
4
.250
08/14/28
5,589,540‌
2,000,000
g
Kallpa
Generacion
SA
4
.125
08/16/27
1,867,801‌
2,600,000
g
Korea
Southern
Power
Co
Ltd
0
.750
01/27/26
2,299,461‌
4,175,000
Medtronic
Global
Holdings
S.C.A
4
.250
03/30/28
4,074,913‌
7,275,000
MidAmerican
Energy
Co
3
.650
04/15/29
6,756,014‌
2,175,000
MidAmerican
Energy
Co
3
.650
08/01/48
1,674,506‌
1,650,000
Nevada
Power
Co
2
.400
05/01/30
1,390,550‌
4,320,000
NextEra
Energy
Capital
Holdings,
Inc
2
.250
06/01/30
3,593,030‌
15,720,000
NiSource,
Inc
1
.700
02/15/31
12,291,006‌
2,845,000
g
NRG
Energy,
Inc
2
.450
12/02/27
2,397,504‌
1,250,000
NRG
Energy,
Inc
5
.750
01/15/28
1,184,563‌
1,905,000
g
NRG
Energy,
Inc
7
.000
03/15/33
1,920,783‌
2,000,000
NSTAR
Electric
Co
3
.200
05/15/27
1,878,361‌
850,000
NSTAR
Electric
Co
3
.950
04/01/30
802,195‌
2,175,000
Ohio
Power
Co
4
.150
04/01/48
1,778,098‌
2,175,000
Ohio
Power
Co
4
.000
06/01/49
1,760,747‌
150,000
Oncor
Electric
Delivery
Co
LLC
7
.250
01/15/33
173,857‌
2,940,000
PacifiCorp
2
.700
09/15/30
2,448,194‌
350,000
g
Pattern
Energy
Operations
LP
4
.500
08/15/28
319,666‌
1,375,000
PECO
Energy
Co
3
.000
09/15/49
955,600‌
1,000,000
PECO
Energy
Co
2
.800
06/15/50
659,206‌
1,400,000
g
Perusahaan
Listrik
Negara
PT
3
.875
07/17/29
1,285,760‌
2,500,000
g
Perusahaan
Listrik
Negara
PT
3
.375
02/05/30
2,187,019‌
135,000
Potomac
Electric
Power
Co
7
.900
12/15/38
164,654‌
2,050,000
g
Promigas
S.A.
ESP
3
.750
10/16/29
1,738,482‌
8,425,000
Public
Service
Co
of
Colorado
1
.875
06/15/31
6,718,114‌
5,440,000
Public
Service
Co
of
Colorado
3
.200
03/01/50
3,839,329‌
3,925,000
Public
Service
Electric
&
Gas
Co
3
.150
01/01/50
2,853,847‌
2,825,000
Public
Service
Electric
and
Gas
Co
4
.900
12/15/32
2,821,086‌
3,000,000
g
Rumo
Luxembourg
Sarl
5
.250
01/10/28
2,782,500‌
3,215,000
g
Saka
Energi
Indonesia
PT
4
.450
05/05/24
3,134,625‌
500,000
g
Sasol
Financing
USA
LLC
8
.750
05/03/29
487,071‌
4,000,000
Sempra
Energy
4
.875
N/A‡
3,720,273‌
1,750,000
Southern
Co
4
.400
07/01/46
1,496,583‌
2,075,000
Southern
Co
Gas
Capital
Corp
3
.875
11/15/25
1,989,669‌
1,250,000
Southern
Co
Gas
Capital
Corp
4
.400
06/01/43
1,033,064‌
1,175,000
Southern
Co
Gas
Capital
Corp
3
.950
10/01/46
906,489‌
4,900,000
Southwestern
Public
Service
Co
3
.400
08/15/46
3,536,663‌
550,000
g
Superior
Plus
LP
4
.500
03/15/29
482,141‌
2,815,000
g
Talen
Energy
Supply
LLC
8
.625
06/01/30
2,913,525‌
1,700,000
g
Tengizchevroil
Finance
Co
International
Ltd
2
.625
08/15/25
1,544,960‌
4,000,000
g
TerraForm
Power
Operating
LLC
4
.750
01/15/30
3,530,000‌
1,542,850
g
UEP
Penonome
II
S.A.
6
.500
10/01/38
1,156,571‌
173
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
2,650,000
Union
Electric
Co
5
.450
%
03/15/53
$
2,700,322‌
1,025,000
Virginia
Electric
&
Power
Co
2
.950
11/15/26
949,542‌
1,050,000
Virginia
Electric
&
Power
Co
3
.500
03/15/27
993,704‌
6,000,000
Virginia
Electric
&
Power
Co
3
.800
04/01/28
5,684,347‌
1,000,000
Wisconsin
Power
&
Light
Co
4
.100
10/15/44
798,573‌
5,000,000
Wisconsin
Power
and
Light
Co
4
.950
04/01/33
4,945,081‌
470,000
Xcel
Energy,
Inc
4
.800
09/15/41
414,600‌
TOTAL
UTILITIES
293,545,846‌
TOTAL
CORPORATE
BONDS
3,408,476,585‌
(Cost
$3,869,245,208)
GOVERNMENT
BONDS
-
42
.1
%
AGENCY
SECURITIES
-
0
.1
%
2,759,000
Canal
Barge
Co,
Inc
4
.500
11/12/34
2,672,757‌
4,625,000
Overseas
Private
Investment
Corp
(OPIC)
3
.520
09/20/32
4,354,105‌
TOTAL
AGENCY
SECURITIES
7,026,862‌
FOREIGN
GOVERNMENT
BONDS
-
1
.9
%
1,500,000
g
Abu
Dhabi
Government
International
Bond
2
.500
09/30/29
1,343,706‌
625,000
g
African
Export-Import
Bank
2
.634
05/17/26
562,044‌
3,125,000
g
Angolan
Government
International
Bond
8
.750
04/14/32
2,622,750‌
INR
140,000,000
Asian
Development
Bank
6
.200
10/06/26
1,670,725‌
1,105,000
g
Bank
Gospodarstwa
Krajowego
5
.375
05/22/33
1,097,121‌
4,465,000
g
Banque
Ouest
Africaine
de
Developpement
4
.700
10/22/31
3,618,883‌
EUR
2,100,000
g
Banque
Ouest
Africaine
de
Developpement
2
.750
01/22/33
1,667,081‌
628,900
g
Barbados
Government
International
Bond
6
.500
10/01/29
587,267‌
3,000,000
g
BNG
Bank
NV
3
.000
09/20/23
2,985,418‌
1,037,500
g
Brazil
Minas
SPE
via
State
of
Minas
Gerais
5
.333
02/15/28
1,014,156‌
1,705,000
Brazilian
Government
International
Bond
6
.000
10/20/33
1,685,445‌
2,000,000
Brazilian
Government
International
Bond
4
.750
01/14/50
1,468,656‌
5,950,000
e
Chile
Government
International
Bond
2
.550
01/27/32
5,079,870‌
990,000
Chile
Government
International
Bond
3
.100
05/07/41
741,987‌
CNY
16,600,000
China
Government
Bond
2
.880
11/05/23
2,293,649‌
CNY
5,000,000
China
Government
Bond
3
.270
11/19/30
720,943‌
CNY
3,300,000
China
Government
Bond
3
.810
09/14/50
512,228‌
4,275,000
Colombia
Government
International
Bond
3
.250
04/22/32
3,159,480‌
1,300,000
Colombia
Government
International
Bond
5
.000
06/15/45
902,582‌
3,460,000
g
Costa
Rica
Government
International
Bond
5
.625
04/30/43
2,966,325‌
1,750,000
g
Development
Bank
of
Japan,
Inc
0
.500
03/04/24
1,690,709‌
DOP
90,000,000
g
Dominican
Republic
Government
International
Bond
9
.750
06/05/26
1,654,394‌
1,295,000
g
Dominican
Republic
Government
International
Bond
5
.500
02/22/29
1,210,077‌
DOP
120,000,000
g
Dominican
Republic
Government
International
Bond
12
.000
03/05/32
2,437,653‌
2,250,000
g
Dominican
Republic
Government
International
Bond
4
.875
09/23/32
1,912,261‌
3,725,000
g
Dominican
Republic
Government
International
Bond
6
.500
02/15/48
3,209,399‌
990,000
g
Dominican
Republic
International
Bond
5
.300
01/21/41
774,401‌
143,196
g
Ecuador
Government
International
Bond
0
.000
07/31/30
41,223‌
857,325
g
Ecuador
Government
International
Bond
(Step
Bond)
5
.000
07/31/30
412,226‌
956,102
g
Ecuador
Government
International
Bond
(Step
Bond)
1
.000
07/31/35
329,405‌
1,150,000
g
Egypt
Government
International
Bond
7
.600
03/01/29
741,865‌
EUR
3,000,000
g
Egypt
Government
International
Bond
5
.625
04/16/30
1,808,599‌
1,500,000
g
Egypt
Government
International
Bond
7
.053
01/15/32
847,260‌
1,050,000
g
Egypt
Government
International
Bond
8
.500
01/31/47
555,276‌
1,875,000
g
Egypt
Government
International
Bond
8
.875
05/29/50
1,005,450‌
395,000
European
Investment
Bank
4
.875
02/15/36
423,653‌
4,400,000
g
Export-Import
Bank
of
India
3
.875
02/01/28
4,135,955‌
1,900,000
g
Export-Import
Bank
of
India
2
.250
01/13/31
1,534,373‌
2,200,000
Export-Import
Bank
of
Korea
0
.750
09/21/25
1,986,009‌
3,200,000
Export-Import
Bank
of
Korea
1
.250
09/21/30
2,548,707‌
950,000
g
Ghana
Government
International
Bond
8
.125
03/26/32
403,560‌
1,500,000
g
Ghana
Government
International
Bond
8
.627
06/16/49
611,640‌
Core
Bond
Fund
June
30,
2023
174
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
1,100,000
g
Guatemala
Government
Bond
3
.700
%
10/07/33
$
885,506‌
EUR
1,750,000
g
Hellenic
Republic
Government
International
Bond
1
.875
07/23/26
1,818,833‌
1,350,000
g
Honduras
Government
International
Bond
6
.250
01/19/27
1,225,591‌
2,875,000
g
Hong
Kong
Government
International
Bond
4
.625
01/11/33
2,967,389‌
710,000
g
Hungary
Government
International
Bond
6
.125
05/22/28
720,045‌
875,000
g
Hungary
Government
International
Bond
5
.250
06/16/29
849,809‌
575,000
g
Hungary
Government
International
Bond
2
.125
09/22/31
443,512‌
500,000
Indonesia
Government
International
Bond
3
.550
03/31/32
451,270‌
IDR
28,000,000,000
Indonesia
Treasury
Bond
7
.000
09/15/30
1,941,541‌
IDR
25,500,000,000
Indonesia
Treasury
Bond
7
.500
08/15/32
1,836,965‌
1,456,250
g
Iraq
Government
International
Bond
5
.800
01/15/28
1,336,109‌
EUR
125,000
g
Ivory
Coast
Government
International
Bond
4
.875
01/30/32
105,946‌
770,000
g
Ivory
Coast
Government
International
Bond
6
.125
06/15/33
673,688‌
992,154
g
Ivory
Coast
Government
International
Bond
(Step
Bond)
5
.750
12/31/32
923,179‌
710,000
Jamaica
Government
International
Bond
6
.750
04/28/28
740,235‌
3,050,000
e
Jamaica
Government
International
Bond
7
.875
07/28/45
3,512,085‌
1,500,000
g
Japan
Finance
Organization
for
Municipalities
3
.000
03/12/24
1,472,444‌
700,000
g
Jordan
Government
International
Bond
4
.950
07/07/25
677,362‌
1,000,000
g
Jordan
Government
International
Bond
7
.500
01/13/29
997,988‌
2,060,000
g
Jordan
Government
International
Bond
5
.850
07/07/30
1,884,488‌
1,375,000
g
Kenya
Government
International
Bond
7
.000
05/22/27
1,234,063‌
1,000,000
g
Kenya
Government
International
Bond
8
.000
05/22/32
841,590‌
1,490,000
g
Kenya
Government
International
Bond
6
.300
01/23/34
1,121,518‌
2,000,000
g
Kommunalbanken
AS.
1
.125
06/14/30
1,620,840‌
3,175,000
g
Korea
Electric
Power
Corp
1
.125
06/15/25
2,921,498‌
3,000,000
g
Korea
Hydro
&
Nuclear
Power
Co
Ltd
1
.250
04/27/26
2,662,473‌
445,000
g
Magyar
Export-Import
Bank
Zrt
6
.125
12/04/27
440,552‌
MYR
7,600,000
Malaysia
Government
Bond
3
.828
07/05/34
1,599,040‌
MXN
27,200,000
Mexican
Bonos
5
.750
03/05/26
1,452,245‌
MXN
24,500,000
Mexican
Bonos
8
.500
11/18/38
1,394,083‌
825,000
Mexico
Government
International
Bond
5
.400
02/09/28
838,853‌
900,000
e
Mexico
Government
International
Bond
3
.250
04/16/30
800,902‌
3,424,000
Mexico
Government
International
Bond
6
.050
01/11/40
3,461,797‌
4,000,000
Mexico
Government
International
Bond
4
.280
08/14/41
3,290,659‌
2,025,000
Mexico
Government
International
Bond
4
.750
03/08/44
1,729,462‌
1,710,000
g
Mongolia
Government
International
Bond
4
.450
07/07/31
1,325,760‌
1,130,000
g
Morocco
Government
International
Bond
5
.950
03/08/28
1,138,543‌
1,760,000
g
Morocco
Government
International
Bond
3
.000
12/15/32
1,390,400‌
2,825,000
g
Morocco
Government
International
Bond
5
.500
12/11/42
2,429,500‌
525,000
g
Morocco
Government
International
Bond
4
.000
12/15/50
352,744‌
2,500,000
g
Namibia
Government
International
Bond
5
.250
10/29/25
2,371,925‌
1,000,000
g
Nigeria
Government
International
Bond
8
.375
03/24/29
898,200‌
345,000
g
Nigeria
Government
International
Bond
7
.875
02/16/32
288,805‌
400,000
g
Oman
Government
International
Bond
6
.750
10/28/27
413,006‌
2,090,000
g
Oman
Government
International
Bond
6
.000
08/01/29
2,087,847‌
1,500,000
g
Oman
Government
International
Bond
6
.250
01/25/31
1,520,625‌
3,125,000
g
OPEC
Fund
for
International
Development
4
.500
01/26/26
3,067,266‌
2,645,000
Panama
Bonos
del
Tesoro
3
.362
06/30/31
2,260,153‌
3,225,000
Panama
Notas
del
Tesoro
3
.750
04/17/26
3,159,146‌
475,000
g
Paraguay
Government
International
Bond
4
.700
03/27/27
460,796‌
1,275,000
g
Paraguay
Government
International
Bond
5
.400
03/30/50
1,087,603‌
1,435,000
g
Perusahaan
Penerbit
SBSN
Indonesia
III
2
.550
06/09/31
1,219,500‌
1,200,000
g
Perusahaan
Penerbit
SBSN
Indonesia
III
4
.700
06/06/32
1,189,454‌
1,315,000
Peruvian
Government
International
Bond
3
.000
01/15/34
1,091,450‌
1,320,000
Philippine
Government
International
Bond
4
.200
03/29/47
1,134,267‌
2,098,000
Poland
Government
International
Bond
5
.500
04/04/53
2,109,757‌
620,000
Province
of
Quebec
Canada
7
.500
09/15/29
721,405‌
5,000,000
Republic
of
Italy
Government
International
Bond
4
.000
10/17/49
3,853,150‌
2,200,000
g
Republic
of
Paraguay
6
.100
08/11/44
2,077,576‌
ZAR
22,300,000
Republic
of
South
Africa
Government
International
Bond
7
.000
02/28/31
947,746‌
175
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
ZAR
23,400,000
Republic
of
South
Africa
Government
International
Bond
8
.750
%
01/31/44
$
909,829‌
$
2,895,000
Republic
of
South
Africa
Government
International
Bond
5
.375
07/24/44
2,055,450‌
UZS
7,990,000,000
g
Republic
of
Uzbekistan
International
Bond
14
.500
11/25/23
688,696‌
2,150,000
g
Republic
of
Uzbekistan
International
Bond
4
.750
02/20/24
2,125,920‌
UZS
7,600,000,000
g
Republic
of
Uzbekistan
International
Bond
14
.000
07/19/24
644,291‌
410,000
g
Republic
of
Uzbekistan
International
Bond
5
.375
02/20/29
374,648‌
2,000,000
g
Romanian
Government
International
Bond
3
.000
02/14/31
1,656,000‌
1,425,000
g
Romanian
Government
International
Bond
4
.000
02/14/51
1,015,313‌
3,825,000
g
Rwanda
International
Government
Bond
5
.500
08/09/31
2,872,935‌
2,900,000
g
Saudi
Government
International
Bond
4
.500
04/17/30
2,846,327‌
2,810,000
g
Saudi
Government
International
Bond
3
.750
01/21/55
2,120,538‌
560,000
g
Serbia
Government
International
Bond
6
.500
09/26/33
548,827‌
1,225,000
g
Serbia
International
Bond
2
.125
12/01/30
939,742‌
RSD
290,000,000
Serbia
Treasury
Bonds
5
.875
02/08/28
2,759,169‌
2,000,000
South
Africa
Government
International
Bond
5
.875
09/16/25
1,974,152‌
1,950,000
e,g
Southern
Gas
Corridor
CJSC
6
.875
03/24/26
1,980,030‌
1,110,000
State
of
Israel
3
.800
05/13/60
841,189‌
THB
24,600,000
Thailand
Government
International
Bond
2
.875
12/17/28
711,039‌
THB
24,500,000
Thailand
Government
International
Bond
3
.300
06/17/38
725,804‌
1,225,000
g
Ukraine
Government
International
Bond
9
.750
11/01/30
299,601‌
EUR
475,000
g
Ukraine
Government
International
Bond
4
.375
01/27/32
110,073‌
150,000
Uruguay
Government
International
Bond
4
.375
01/23/31
147,766‌
1,200,000
g
Zambia
Government
International
Bond
8
.500
04/14/24
692,232‌
TOTAL
FOREIGN
GOVERNMENT
BONDS
185,484,166‌
MORTGAGE
BACKED
-
19
.1
%
76,798,408
g,i
Citigroup
Mortgage
Loan
Trust
0
.156
02/25/52
599,995‌
8,606,089
g,i
Citigroup
Mortgage
Loan
Trust
0
.250
02/25/52
106,375‌
12,146,763
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
4
.500
11/01/37
11,913,819‌
1,960,008
i
FHLMC
LIBOR
1
M
+
5.920%
0
.727
03/15/44
163,493‌
7,706,278
FHLMC
3
.500
01/15/47
6,808,562‌
3,094,680
i
FHLMC
LIBOR
1
M
+
9.920%
1
.611
06/15/48
2,896,524‌
3,304,219
i
FHLMC
LIBOR
1
M
+
9.840%
1
.531
10/15/48
3,010,507‌
11,340,588
FHLMC
2
.000
09/25/50
1,361,304‌
5,939,932
FHLMC
3
.000
10/25/50
4,211,279‌
22,230,227
FHLMC
2
.500
02/25/51
3,392,046‌
7,647,830
FHLMC
2
.500
05/25/51
4,843,338‌
5,639,938
FHLMC
3
.000
09/01/51
5,052,044‌
4,368,930
FHLMC
3
.000
11/01/51
3,884,353‌
2,278,881
FHLMC
3
.000
11/01/51
2,041,348‌
3,506,453
FHLMC
3
.000
11/01/51
3,127,508‌
24,169,908
FHLMC
3
.000
11/01/51
21,557,853‌
19,955,192
FHLMC
2
.000
02/01/52
16,377,248‌
23,391,039
FHLMC
2
.500
02/01/52
19,996,578‌
25,789,830
FHLMC
2
.500
03/01/52
22,042,340‌
13,227,898
FHLMC
4
.000
04/01/52
12,423,573‌
923,985
FHLMC
3
.500
06/01/52
843,738‌
26,309,856
FHLMC
4
.500
06/01/52
25,298,408‌
24,899,096
FHLMC
4
.500
07/01/52
23,943,026‌
2,956,259
FHLMC
4
.000
08/25/52
2,507,249‌
5,233,359
FHLMC
4
.500
10/25/52
4,745,829‌
6,316,915
FHLMC
5
.500
11/25/52
6,404,820‌
3,320,179
FHLMC
5
.500
02/25/53
3,329,344‌
211
Federal
Home
Loan
Mortgage
Corp
Gold
(FGLMC)
8
.000
01/01/31
211‌
6,188
FGLMC
8
.000
09/01/31
6,308‌
58,207
FGLMC
7
.000
12/01/31
58,812‌
33,052
FGLMC
4
.500
07/01/33
32,597‌
238,689
FGLMC
7
.000
12/01/33
247,602‌
77,965
FGLMC
4
.500
04/01/35
76,924‌
66,260
FGLMC
7
.000
05/01/35
67,681‌
Core
Bond
Fund
June
30,
2023
176
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,333,339
FGLMC
5
.000
%
06/01/36
$
1,344,403‌
52,235
FGLMC
5
.000
07/01/39
52,670‌
1,175,292
FGLMC
5
.000
08/01/44
1,185,057‌
105,425
FGLMC
4
.500
11/01/44
103,467‌
67,121
FGLMC
4
.500
11/01/44
65,874‌
64,143
FGLMC
4
.500
12/01/44
62,951‌
87,910
FGLMC
4
.500
12/01/44
86,277‌
543,146
FGLMC
3
.500
04/01/45
506,170‌
10,990,500
FGLMC
3
.500
08/01/45
10,253,632‌
11,799,167
FGLMC
3
.500
10/01/45
10,992,214‌
3,987,617
FGLMC
4
.500
06/01/47
3,947,476‌
2,912,789
FGLMC
4
.000
09/01/47
2,789,069‌
3,563,094
FGLMC
3
.500
12/01/47
3,300,624‌
8,326,315
FGLMC
4
.500
08/01/48
8,182,417‌
20
Federal
National
Mortgage
Association
(FNMA)
8
.000
07/01/24
20‌
72
FNMA
7
.500
01/01/29
73‌
623
FNMA
7
.500
03/01/31
645‌
731,797
FNMA
3
.500
05/01/32
701,191‌
2,024,807
FNMA
3
.000
10/01/32
1,905,822‌
483,006
FNMA
5
.000
05/01/35
486,443‌
377,163
FNMA
5
.000
10/01/35
379,857‌
195,824
FNMA
5
.000
02/01/36
197,223‌
25,220,582
FNMA
4
.000
11/01/37
24,342,169‌
273,331
FNMA
5
.500
11/01/38
280,452‌
155,815
FNMA
5
.500
03/01/39
159,596‌
2,938,174
FNMA
3
.000
10/01/39
2,681,829‌
1,377,835
FNMA
3
.000
05/01/40
1,253,981‌
307,436
FNMA
5
.000
09/01/40
309,637‌
186,709
FNMA
4
.000
02/01/41
179,518‌
360,588
FNMA
5
.000
05/01/41
363,175‌
22,377,778
FNMA
2
.000
03/01/42
18,938,388‌
4,986,077
FNMA
4
.000
09/01/42
4,779,570‌
638,476
FNMA
3
.500
04/01/43
596,490‌
554,349
FNMA
3
.500
09/01/43
519,564‌
2,398,402
i
FNMA
LIBOR
1
M
+
5.950%
0
.800
09/25/43
237,084‌
1,741,223
FNMA
4
.500
03/01/44
1,719,500‌
36,865,623
FNMA
4
.000
05/01/44
35,296,041‌
488,949
FNMA
4
.500
06/01/44
479,310‌
2,109,957
FNMA
4
.500
06/01/44
2,068,491‌
399,234
FNMA
3
.500
07/01/44
373,790‌
1,197,606
FNMA
4
.500
08/01/44
1,174,037‌
1,683,748
FNMA
4
.500
10/01/44
1,650,685‌
1,199,271
FNMA
4
.500
11/01/44
1,175,630‌
1,094,518
FNMA
5
.000
11/01/44
1,102,341‌
303,167
FNMA
4
.500
12/01/44
297,292‌
1,111,893
FNMA
4
.000
01/01/45
1,065,809‌
1,335,419
FNMA
3
.500
05/01/45
1,244,447‌
2,675,773
FNMA
3
.500
01/01/46
2,488,503‌
1,140,261
FNMA
4
.000
04/01/46
1,090,322‌
1,987,159
FNMA
3
.500
06/01/46
1,848,075‌
4,338,149
FNMA
3
.500
07/01/46
4,034,520‌
9,138,335
FNMA
3
.500
07/01/46
8,545,432‌
1,471,679
FNMA
3
.000
10/01/46
1,301,215‌
1,271,262
FNMA
3
.500
10/01/46
1,180,018‌
2,125,512
FNMA
4
.500
05/01/47
2,099,002‌
692,536
FNMA
3
.000
11/01/47
612,314‌
4,584,489
FNMA
3
.500
11/01/47
4,274,810‌
6,259,845
FNMA
3
.500
01/01/48
5,787,014‌
2,425,612
FNMA
4
.500
01/01/48
2,380,896‌
987,800
FNMA
4
.500
02/01/48
969,600‌
1,626,671
FNMA
4
.500
05/01/48
1,596,302‌
177
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,200,187
FNMA
4
.500
%
05/01/48
$
1,177,405‌
1,812,053
FNMA
5
.000
08/01/48
1,804,274‌
225,364
FNMA
3
.000
06/01/49
193,950‌
3,047,942
FNMA
4
.500
06/01/49
2,984,450‌
16,852,633
FNMA
3
.000
07/01/50
15,031,988‌
6,736,500
FNMA
2
.000
08/25/50
925,776‌
8,288,792
FNMA
2
.000
10/25/50
5,595,389‌
19,151,423
FNMA
2
.500
11/25/50
2,724,849‌
9,433,845
FNMA
3
.000
12/25/50
1,547,186‌
6,433,480
FNMA
3
.000
02/25/51
1,158,485‌
73,557,181
FNMA
2
.000
04/01/51
60,226,784‌
5,957,359
FNMA
3
.500
08/01/51
5,474,866‌
4,614,476
FNMA
3
.000
09/01/51
4,104,682‌
10,375,997
FNMA
2
.500
11/25/51
1,297,366‌
4,580,860
FNMA
2
.000
01/01/52
3,777,961‌
27,741,604
FNMA
2
.000
02/01/52
22,763,003‌
24,837,668
FNMA
2
.500
02/01/52
21,233,253‌
27,249,490
FNMA
2
.500
02/01/52
23,289,817‌
1,098,616
FNMA
2
.500
02/01/52
937,822‌
10,644,116
FNMA
3
.500
02/01/52
9,781,663‌
14,884,132
FNMA
2
.000
03/01/52
12,197,771‌
18,315,822
FNMA
3
.000
04/01/52
16,196,968‌
48,023,177
FNMA
3
.000
04/01/52
42,519,602‌
2,020,185
FNMA
3
.500
04/01/52
1,841,298‌
26,581,276
FNMA
3
.500
05/01/52
24,227,727‌
3,835,706
FNMA
3
.500
05/01/52
3,496,058‌
38,930,235
FNMA
4
.000
05/01/52
36,554,871‌
3,251,634
FNMA
4
.000
05/25/52
2,609,368‌
24,681,934
FNMA
3
.500
06/01/52
22,542,251‌
51,453,250
FNMA
4
.000
06/01/52
48,313,690‌
12,778,140
FNMA
4
.500
06/01/52
12,287,499‌
12,272,594
FNMA
3
.500
07/01/52
11,187,465‌
76,677,859
FNMA
4
.000
07/01/52
71,999,055‌
80,770,296
FNMA
4
.000
07/01/52
75,816,756‌
11,572,107
FNMA
4
.500
07/01/52
11,128,745‌
4,610,763
FNMA
4
.500
07/01/52
4,433,391‌
51,048,253
FNMA
4
.500
07/01/52
49,088,456‌
8,229,398
FNMA
4
.500
07/25/52
7,564,740‌
59,139,036
FNMA
5
.000
08/01/52
58,008,342‌
4,689,145
FNMA
4
.500
08/25/52
4,096,027‌
42,952,380
FNMA
4
.000
09/01/52
40,313,678‌
131,187,405
FNMA
4
.500
09/01/52
126,147,549‌
17,857,021
FNMA
5
.000
09/01/52
17,510,307‌
4,228,397
FNMA
4
.000
09/25/52
3,794,529‌
3,561,571
FNMA
4
.000
09/25/52
2,990,531‌
91,095,580
FNMA
4
.000
10/01/52
85,508,745‌
33,500,671
FNMA
4
.500
10/01/52
32,211,942‌
44,480,658
FNMA
5
.000
10/01/52
43,605,352‌
3,413,060
FNMA
4
.500
10/25/52
3,268,471‌
3,893,992
FNMA
4
.500
10/25/52
3,745,058‌
35,673,941
h
FNMA
4
.500
11/01/52
34,301,644‌
6,230,619
FNMA
5
.500
11/25/52
6,258,559‌
20,204,384
FNMA
5
.500
12/01/52
20,166,399‌
25,854,681
FNMA
5
.500
02/01/53
25,731,163‌
908,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
3.650%
8
.210
11/25/41
904,964‌
18,840,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
2.400%
7
.467
02/25/42
18,636,439‌
26,700,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.500%
9
.567
06/25/42
28,067,860‌
10,905,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.000%
9
.067
07/25/42
11,246,618‌
24,032
Government
National
Mortgage
Association
(GNMA)
6
.500
11/20/38
25,261‌
210,026
GNMA
5
.000
06/15/39
210,332‌
7,004,079
GNMA
5
.000
01/20/40
1,380,978‌
Core
Bond
Fund
June
30,
2023
178
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
10,840,696
GNMA
2
.500
%
12/20/43
$
9,588,840‌
2,880,954
GNMA
3
.000
03/20/45
2,527,338‌
850,127
GNMA
4
.500
12/20/45
831,067‌
1,595,198
GNMA
4
.000
06/20/46
204,089‌
6,357,325
i
GNMA
LIBOR
1
M
+
6.100%
0
.943
03/20/50
716,324‌
12,406,349
GNMA
3
.000
11/20/51
9,115,998‌
15,016,738
GNMA
3
.000
01/20/52
11,214,913‌
6,147,686
GNMA
2
.500
02/20/52
5,109,562‌
5,570,908
GNMA
2
.500
05/20/52
4,824,583‌
66,357,923
GNMA
3
.000
05/20/52
59,339,965‌
43,145,016
GNMA
3
.500
07/20/52
39,815,759‌
5,082,691
GNMA
4
.000
07/20/52
4,212,206‌
10,611,322
GNMA
4
.000
08/20/52
10,039,893‌
12,000,990
GNMA
4
.000
09/20/52
11,354,718‌
7,934,055
GNMA
4
.500
09/20/52
7,290,651‌
6,919,204
GNMA
4
.500
09/20/52
6,545,517‌
5,760,832
GNMA
4
.500
09/20/52
5,381,668‌
4,199,098
GNMA
4
.500
09/20/52
3,816,537‌
10,574,432
GNMA
5
.000
11/20/52
10,400,386‌
4,841,953
GNMA
4
.500
02/20/53
4,410,108‌
4,206,239
GNMA
5
.500
02/20/53
4,182,237‌
12,856,254
GNMA
1
.052
05/20/53
555,436‌
12,856,254
GNMA
1
.884
05/20/53
820,356‌
5,357,548
g,i
OBX
3
.000
01/25/52
4,346,744‌
TOTAL
MORTGAGE
BACKED
1,825,225,383‌
MUNICIPAL
BONDS
-
0
.1
%
380,000
City
&
County
of
San
Francisco
CA
Community
Facilities
District
3
.028
09/01/23
378,278‌
550,000
City
&
County
of
San
Francisco
CA
Community
Facilities
District
4
.038
09/01/34
506,742‌
3,400,000
New
Jersey
Economic
Development
Authority
7
.425
02/15/29
3,655,545‌
4,075,000
New
York
State
Dormitory
Authority
4
.294
07/01/44
3,799,337‌
810,000
Oklahoma
City
Economic
Development
Trust
3
.440
09/01/24
790,176‌
33,000
State
Public
School
Building
Authority
5
.000
09/15/27
32,798‌
TOTAL
MUNICIPAL
BONDS
9,162,876‌
U.S.
TREASURY
SECURITIES
-
20
.9
%
1,900,000
United
States
Treasury
Bond
4
.750
02/15/37
2,101,875‌
10,875,000
j
United
States
Treasury
Bond
3
.500
02/15/39
10,417,910‌
16,015,000
United
States
Treasury
Bond
3
.875
08/15/40
15,890,508‌
12,000,000
United
States
Treasury
Bond
3
.125
11/15/41
10,567,031‌
1,380,000
United
States
Treasury
Bond
2
.500
05/15/46
1,061,145‌
10,450,000
United
States
Treasury
Bond
3
.000
05/15/47
8,799,635‌
1,255,000
United
States
Treasury
Bond
2
.750
08/15/47
1,009,491‌
42,835,000
United
States
Treasury
Bond
2
.750
11/15/47
34,453,730‌
55,445,000
United
States
Treasury
Bond
3
.000
02/15/48
46,749,231‌
510,000
United
States
Treasury
Bond
3
.125
05/15/48
439,935‌
45,841,000
j
United
States
Treasury
Bond
3
.375
11/15/48
41,427,013‌
22,128,208
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.500
04/15/24
21,592,723‌
28,625,000
United
States
Treasury
Note
0
.125
08/31/23
28,390,390‌
21,300,000
United
States
Treasury
Note
2
.500
04/30/24
20,791,629‌
795,000
United
States
Treasury
Note
2
.500
05/31/24
774,286‌
75,000,000
United
States
Treasury
Note
4
.250
09/30/24
74,015,625‌
29,936,000
United
States
Treasury
Note
3
.875
04/30/25
29,353,651‌
25,000,000
United
States
Treasury
Note
4
.625
06/30/25
24,885,742‌
60,402,000
United
States
Treasury
Note
3
.625
05/15/26
58,929,701‌
8,150,000
United
States
Treasury
Note
0
.875
09/30/26
7,291,703‌
105,270,000
United
States
Treasury
Note
1
.250
12/31/26
94,743,000‌
180,115,000
United
States
Treasury
Note
3
.500
04/30/28
175,021,123‌
11,105,000
United
States
Treasury
Note
3
.625
05/31/28
10,862,078‌
35,245,000
United
States
Treasury
Note
4
.000
06/30/28
35,052,254‌
179
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
U.S.
TREASURY
SECURITIES—continued
$
675,000
United
States
Treasury
Note
1
.000
%
07/31/28
$
578,918‌
6,300,000
United
States
Treasury
Note
1
.375
10/31/28
5,481,000‌
7,290,000
United
States
Treasury
Note
3
.250
06/30/29
6,974,480‌
14,800,000
United
States
Treasury
Note
4
.000
10/31/29
14,761,266‌
49,441,000
United
States
Treasury
Note
3
.500
04/30/30
48,004,121‌
38,535,000
United
States
Treasury
Note
3
.750
06/30/30
38,023,207‌
6,775,000
United
States
Treasury
Note
1
.250
08/15/31
5,559,734‌
205,495,000
United
States
Treasury
Note
3
.375
05/15/33
198,174,241‌
2,850,000
United
States
Treasury
Note
1
.875
02/15/41
2,069,701‌
33,830,000
United
States
Treasury
Note
2
.000
11/15/41
24,763,296‌
370,024,100
j
United
States
Treasury
Note
2
.375
02/15/42
288,083,998‌
4,115,000
United
States
Treasury
Note
3
.250
05/15/42
3,671,995‌
10,000,000
United
States
Treasury
Note
4
.000
11/15/42
9,935,937‌
213,174,000
United
States
Treasury
Note
3
.875
02/15/43
207,844,650‌
24,000,000
e
United
States
Treasury
Note
3
.875
05/15/43
23,418,750‌
217,477,000
United
States
Treasury
Note
2
.250
02/15/52
157,161,113‌
170,859,000
United
States
Treasury
Note
3
.625
02/15/53
163,971,247‌
53,500,000
United
States
Treasury
Note
3
.625
05/15/53
51,418,516‌
TOTAL
U.S.
TREASURY
SECURITIES
2,004,517,579‌
TOTAL
GOVERNMENT
BONDS
4,031,416,866‌
(Cost
$4,300,438,252)
STRUCTURED
ASSETS
-
18
.3
%
ASSET
BACKED
-
5
.5
%
4,000,000
g,i
AGL
CLO
19
Ltd
SOFR
3
M
+
2.750%
7
.806
07/21/35
4,010,744‌
Series
-
2022
19A
(Class
B1)
1,000,000
g,i
AGL
CLO
Ltd.
CME
Term
SOFR
3
Month
+
2.600%
7
.852
07/21/36
1,000,147‌
Series
-
2023
25A
(Class
B)
3,375,000
g,i
AIMCO
CLO
16
Ltd
LIBOR
3
M
+
1.650%
6
.910
01/17/35
3,304,412‌
Series
-
2021
16A
(Class
B)
10,000,000
g,i
AIMCO
CLO
Series
LIBOR
3
M
+
1.050%
6
.300
04/20/34
9,829,390‌
Series
-
2017
AA
(Class
AR)
10,000,000
g,i
AIMCO
CLO
Series
LIBOR
3
M
+
1.500%
6
.750
04/20/34
9,661,570‌
Series
-
2017
AA
(Class
BR)
1,000,000
AmeriCredit
Automobile
Receivables
Trust
2
.130
03/18/26
947,028‌
Series
-
2020
2
(Class
D)
17,000,000
AmeriCredit
Automobile
Receivables
Trust
1
.210
12/18/26
15,508,811‌
Series
-
2021
1
(Class
D)
2,000,000
g
AMSR
Trust
3
.148
01/19/39
1,813,236‌
Series
-
2019
SFR1
(Class
C)
1,865,000
g
AMSR
Trust
3
.247
01/19/39
1,680,744‌
Series
-
2019
SFR1
(Class
D)
6,952,650
g
Apollo
aviation
securitization
2
.798
01/15/47
5,899,323‌
Series
-
2021
2A
(Class
A)
4,750,000
g
Arm
Master
Trust
LLC
6
.562
02/17/25
4,734,884‌
Series
-
2023
T1
(Class
A)
55,677
g
Asset
Backed
Funding
Corp
NIM
Trust
5
.900
07/26/35
1‌
Series
-
2005
WMC1
(Class
N1)
1,181,200
g
Avis
Budget
Rental
Car
Funding
AESOP
LLC
2
.020
02/20/27
1,069,959‌
Series
-
2020
2A
(Class
A)
6,800,000
g
Avis
Budget
Rental
Car
Funding
AESOP
LLC
1
.630
08/20/27
5,919,475‌
Series
-
2021
1A
(Class
B)
3,100,000
g
Avis
Budget
Rental
Car
Funding
AESOP
LLC
2
.130
08/20/27
2,677,528‌
Series
-
2021
1A
(Class
C)
1,000,000
g
Avis
Budget
Rental
Car
Funding
AESOP
LLC
1
.660
02/20/28
864,875‌
Series
-
2021
2A
(Class
A)
1,500,000
g,i
Bonanza
RE
Ltd
U.S.
Treasury
Bill
3
M
+
4.870%
10
.148
12/23/24
1,288,950‌
Series
-
2020
A
(Class
A)
835,339
g
BRE
Grand
Islander
Timeshare
Issuer
LLC
3
.280
09/26/33
784,688‌
Series
-
2019
A
(Class
A)
Core
Bond
Fund
June
30,
2023
180
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
1,530,926
g
British
Airways
Pass
Through
Trust
3
.800
%
09/20/31
$
1,392,859‌
Series
-
2018
1
(Class
AA)
5,389,171
g
Capital
Automotive
REIT
2
.690
02/15/50
5,057,236‌
Series
-
2020
1A
(Class
A1)
3,848,298
g
Capital
Automotive
REIT
1
.440
08/15/51
3,323,399‌
Series
-
2021
1A
(Class
A1)
8,377,250
g
Capital
Automotive
REIT
1
.920
08/15/51
7,171,604‌
Series
-
2021
1A
(Class
A3)
1,440,000
CarMax
Auto
Owner
Trust
1
.280
07/15/27
1,315,683‌
Series
-
2021
1
(Class
D)
5,767,250
g
Cars
Net
Lease
Mortgage
Notes
Series
2
.010
12/15/50
4,867,336‌
Series
-
2020
1A
(Class
A1)
9,875,000
g
Cars
Net
Lease
Mortgage
Notes
Series
3
.100
12/15/50
8,367,157‌
Series
-
2020
1A
(Class
A3)
1,531,171
Carvana
Auto
Receivables
Trust
1
.270
03/10/28
1,463,071‌
Series
-
2021
N2
(Class
D)
5,799,827
Carvana
Auto
Receivables
Trust
1
.720
09/11/28
5,564,786‌
Series
-
2021
N4
(Class
C)
3,340,000
g
Carvana
Auto
Receivables
Trust
4
.130
12/11/28
3,114,362‌
Series
-
2022
N1
(Class
D)
4,150,000
g,i
Cayuga
Park
CLO
Ltd
LIBOR
3
M
+
1.650%
1
.000
07/17/34
4,036,311‌
Series
-
2020
1A
(Class
B1R)
256,775
i
C-BASS
Trust
LIBOR
1
M
+
0.160%
3
.075
07/25/36
243,476‌
Series
-
2006
CB6
(Class
A1)
8,817,685
g,i
CBRE
Realty
Finance
LIBOR
3
M
+
0.300%
5
.200
04/07/52
22,044‌
Series
-
2007
1A
(Class
A2)
8,769,657
g
CF
Hippolyta
LLC
1
.690
07/15/60
7,869,810‌
Series
-
2020
1
(Class
A1)
2,632,597
g
CF
Hippolyta
LLC
1
.990
07/15/60
2,198,814‌
Series
-
2020
1
(Class
A2)
1,798,904
g
CF
Hippolyta
LLC
2
.280
07/15/60
1,606,651‌
Series
-
2020
1
(Class
B1)
1,393,220
g,i
CIFC
Funding
Ltd
LIBOR
3
M
+
1.220%
6
.470
07/20/30
1,386,487‌
Series
-
2017
3A
(Class
A1)
5,855,000
g,i
CIFC
Funding
Ltd
LIBOR
3
M
+
1.600%
6
.850
10/20/34
5,690,949‌
Series
-
2020
2A
(Class
BR)
3,000,000
g,i
CIFC
Funding
Ltd
SOFR
3
M
+
3.000%
8
.071
10/22/35
3,026,169‌
Series
-
2022
7A
(Class
B1)
5,625,000
g,i
CIFC
Funding
Ltd
LIBOR
3
M
+
1.650%
6
.910
07/15/36
5,482,806‌
Series
-
2020
1A
(Class
BR)
7,355
CIT
Group
Home
Equity
Loan
Trust
(Step
Bond)
6
.200
02/25/30
7,238‌
Series
-
2002
1
(Class
AF6)
11,450,000
g
Cologix
Data
Centers
US
Issuer
LLC
3
.300
12/26/51
10,139,507‌
Series
-
2021
1A
(Class
A2)
1,082,813
g
DB
Master
Finance
LLC
4
.352
05/20/49
988,330‌
Series
-
2019
1A
(Class
A23)
16,745,000
g
DB
Master
Finance
LLC
2
.045
11/20/51
14,572,403‌
Series
-
2021
1A
(Class
A2I)
13,199,000
g
DB
Master
Finance
LLC
2
.493
11/20/51
11,158,514‌
Series
-
2021
1A
(Class
A2II)
690,996
g
Diamond
Resorts
Owner
Trust
2
.890
02/20/32
654,482‌
Series
-
2019
1A
(Class
A)
1,983,273
g
Diamond
Resorts
Owner
Trust
2
.050
11/21/33
1,800,128‌
Series
-
2021
1A
(Class
B)
2,524,500
g
Domino's
Pizza
Master
Issuer
LLC
4
.474
10/25/45
2,406,861‌
Series
-
2015
1A
(Class
A2II)
2,292,000
g
Domino's
Pizza
Master
Issuer
LLC
4
.116
07/25/48
2,170,609‌
Series
-
2018
1A
(Class
A2I)
13,671,000
g
Domino's
Pizza
Master
Issuer
LLC
2
.662
04/25/51
11,589,139‌
Series
-
2021
1A
(Class
A2I)
181
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
3,800,000
g,i
Dryden
49
Senior
Loan
Fund
LIBOR
3
M
+
1.600%
6
.862
%
07/18/30
$
3,721,842‌
Series
-
2017
49A
(Class
BR)
11,800,000
g
DT
Auto
Owner
Trust
1
.160
11/16/26
10,919,236‌
Series
-
2021
1A
(Class
D)
984,831
g,i
Ellington
Loan
Acquisition
Trust
LIBOR
1
M
+
1.100%
6
.250
05/25/37
972,870‌
Series
-
2007
2
(Class
A2C)
18,540,000
g
Flexential
Issuer,
LLC
3
.250
11/27/51
16,168,274‌
Series
-
2021
1A
(Class
A2)
13,573,083
g
FNA
VI
LLC
1
.350
01/10/32
12,265,519‌
Series
-
2021
1A
(Class
A)
23,000,000
g,i
Gracie
Point
International
Funding
30
D
AVG
SOFR
+
2.750%
7
.791
07/01/24
23,015,415‌
Series
-
2022
2A
(Class
A)
4,000,000
g,i
Gracie
Point
International
Funding
30
D
AVG
SOFR
+
3.350%
8
.415
07/01/24
4,002,678‌
Series
-
2022
2A
(Class
B)
9,293,277
g,i
GRACIE
POINT
INTERNATIONAL
FUNDING
30
D
AVG
SOFR
+
2.250%
7
.282
04/01/24
9,278,349‌
Series
-
2022
1A
(Class
A)
1,950,000
g
Hardee's
Funding
LLC
3
.981
12/20/50
1,659,620‌
Series
-
2020
1A
(Class
A2)
675,544
g
HERO
Funding
Trust
3
.190
09/20/48
578,234‌
Series
-
2017
3A
(Class
A1)
241,933
g
HERO
Funding
Trust
3
.280
09/20/48
208,048‌
Series
-
2017
2A
(Class
A1)
878,208
g
HERO
Funding
Trust
3
.950
09/20/48
769,184‌
Series
-
2017
3A
(Class
A2)
483,865
g
HERO
Funding
Trust
4
.070
09/20/48
426,172‌
Series
-
2017
2A
(Class
A2)
11,850,000
g
Hertz
Vehicle
Financing
LLC
1
.560
12/26/25
11,080,286‌
Series
-
2021
1A
(Class
B)
4,700,000
g
Hertz
Vehicle
Financing
LLC
4
.120
09/25/26
4,471,318‌
Series
-
2022
4A
(Class
B)
3,700,000
g
Hertz
Vehicle
Financing
LLC
4
.610
09/25/26
3,490,425‌
Series
-
2022
4A
(Class
C)
361,360
g
Hilton
Grand
Vacations
Trust
2
.660
12/26/28
356,714‌
Series
-
2017
AA
(Class
A)
271,020
g
Hilton
Grand
Vacations
Trust
2
.960
12/26/28
266,806‌
Series
-
2017
AA
(Class
B)
703,744
g
Hilton
Grand
Vacations
Trust
2
.340
07/25/33
655,986‌
Series
-
2019
AA
(Class
A)
71,894
i
Home
Equity
Asset
Trust
LIBOR
1
M
+
1.500%
3
.986
06/25/33
70,063‌
Series
-
2003
1
(Class
M1)
3,403,395
g
Horizon
Aircraft
Finance
II
Ltd
3
.721
07/15/39
2,906,452‌
Series
-
2019
1
(Class
A)
4,203,217
g
Horizon
Aircraft
Finance
III
Ltd
3
.425
11/15/39
3,320,542‌
Series
-
2019
2
(Class
A)
3,450,000
g
Hpefs
Equipment
Trust
4
.430
09/20/29
3,335,536‌
Series
-
2022
2A
(Class
C)
3,750,000
†,g
Industrial
DPR
Funding
Ltd
5
.380
04/15/34
3,183,562‌
Series
-
2022
1A
(Class
1)
799,963
g,i
Invitation
Homes
Trust
LIBOR
1
M
+
1.250%
6
.396
01/17/38
795,809‌
Series
-
2018
SFR4
(Class
B)
5,250,000
g,i
La
Vie
Re
Ltd
LIBOR
3
M
+
2.850%
8
.000
10/06/23
5,092,500‌
Series
-
2020
A
(Class
A)
7,750,000
g,i
Madison
Park
Funding
LIX
Ltd
LIBOR
3
M
+
2.100%
7
.362
01/18/34
7,544,509‌
Series
-
2021
59A
(Class
C)
3,500,000
g,i
Madison
Park
Funding
LV
Ltd
SOFR
3
M
+
2.900%
7
.882
07/18/35
3,513,961‌
Series
-
2022
55A
(Class
B1)
4,000,000
g,i
Magnetite
XIX
Ltd
LIBOR
3
M
+
1.550%
6
.810
04/17/34
3,893,888‌
Series
-
2017
19A
(Class
B1R)
530,000
g,i
Magnetite
XVIII
Ltd
LIBOR
3
M
+
1.500%
6
.821
11/15/28
522,902‌
Series
-
2016
18A
(Class
BR)
Core
Bond
Fund
June
30,
2023
182
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
2,078,604
g
MAPS
Trust
2
.521
%
06/15/46
$
1,792,318‌
Series
-
2021
1A
(Class
A)
2,700,000
g,i
Massachusetts
St
LIBOR
3
M
+
1.650%
6
.910
01/15/35
2,634,495‌
Series
-
2021
3A
(Class
B)
5,250,000
g,i
MSCG
Trust
3
.577
06/07/35
4,528,067‌
Series
-
2015
ALDR
(Class
C)
1,750,000
g,i
MSCG
Trust
3
.577
06/07/35
1,456,829‌
Series
-
2015
ALDR
(Class
D)
1,128,537
g
MVW
LLC
1
.830
05/20/39
995,394‌
Series
-
2021
2A
(Class
B)
2,276,118
g
MVW
LLC
1
.440
01/22/41
2,040,615‌
Series
-
2021
1WA
(Class
B)
1,433,954
g
MVW
LLC
1
.940
01/22/41
1,286,906‌
Series
-
2021
1WA
(Class
C)
644,196
g
MVW
Owner
Trust
2
.750
12/20/34
639,910‌
Series
-
2017
1A
(Class
B)
1,206,388
g
MVW
Owner
Trust
3
.000
11/20/36
1,138,360‌
Series
-
2019
1A
(Class
B)
1,601,708
g
Navient
Private
Education
Refi
Loan
Trust
1
.310
01/15/69
1,447,109‌
Series
-
2020
HA
(Class
A)
1,278,155
g
Navient
Student
Loan
Trust
3
.390
12/15/59
1,207,323‌
Series
-
2019
BA
(Class
A2A)
16,000,000
g,i
Neuberger
Berman
Loan
Advisers
CLO
31
Ltd
LIBOR
3
M
+
1.550%
6
.800
04/20/31
15,636,368‌
Series
-
2019
31A
(Class
BR)
6,750,000
g,i
Neuberger
Berman
Loan
Advisers
Clo
40
Ltd
LIBOR
3
M
+
1.400%
6
.660
04/16/33
6,580,663‌
Series
-
2021
40A
(Class
B)
5,407,717
g
Oak
Street
Investment
Grade
Net
Lease
Fund
Series
1
.480
01/20/51
4,737,197‌
Series
-
2021
1A
(Class
A1)
4,864,393
g
Oak
Street
Investment
Grade
Net
Lease
Fund
Series
2
.380
11/20/51
4,224,557‌
Series
-
2021
2A
(Class
A1)
5,450,000
g,i
OHA
Credit
Funding
10
Ltd
LIBOR
3
M
+
1.650%
6
.912
01/18/36
5,349,927‌
Series
-
2021
10A
(Class
B)
867,293
g
OneMain
Financial
Issuance
Trust
3
.840
05/14/32
863,918‌
Series
-
2020
1A
(Class
A)
10,000,000
g
OneMain
Financial
Issuance
Trust
1
.750
09/14/35
8,922,698‌
Series
-
2020
2A
(Class
A)
5,910,301
g
Oportun
Funding
XIV
LLC
1
.210
03/08/28
5,631,577‌
Series
-
2021
A
(Class
A)
3,515,000
g
Oportun
Issuance
Trust
1
.960
05/08/31
3,143,049‌
Series
-
2021
B
(Class
B)
356,518
g
Orange
Lake
Timeshare
Trust
3
.100
11/08/30
352,116‌
Series
-
2018
A
(Class
A)
2,500,000
g
PFS
Financing
Corp
1
.000
10/15/25
2,466,988‌
Series
-
2020
E
(Class
A)
3,688,000
g
PFS
Financing
Corp
0
.970
02/15/26
3,568,180‌
Series
-
2020
G
(Class
A)
3,000,000
g
PFS
Financing
Corp
0
.710
04/15/26
2,873,464‌
Series
-
2021
A
(Class
A)
6,750,000
g
PFS
Financing
Corp
0
.960
04/15/26
6,450,816‌
Series
-
2021
A
(Class
B)
1,500,000
g
Progress
Residential
Trust
2
.711
11/17/40
1,228,575‌
Series
-
2021
SFR9
(Class
D)
1,010,497
g
Purchasing
Power
Funding
LLC
1
.570
10/15/25
996,311‌
Series
-
2021
A
(Class
A)
2,000,000
g
Regional
Management
Issuance
Trust
7
.100
11/17/32
2,010,278‌
Series
-
2022
2B
(Class
A)
3,330,183
g
Renew
3
.950
09/20/53
2,912,762‌
Series
-
2018
1
(Class
A)
5,088,192
Santander
Drive
Auto
Receivables
Trust
2
.220
09/15/26
4,997,032‌
Series
-
2020
2
(Class
D)
183
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
11,599,300
g
SERVPRO
Master
Issuer
LLC
3
.882
%
10/25/49
$
10,577,599‌
Series
-
2019
1A
(Class
A2)
3,283,000
g
SERVPRO
Master
Issuer
LLC
2
.394
04/25/51
2,695,396‌
Series
-
2021
1A
(Class
A2)
1,866,689
g
Settlement
Fee
Finance
LLC
3
.840
11/01/49
1,821,363‌
Series
-
2019
1A
(Class
A)
749,620
g
Sierra
Timeshare
Receivables
Funding
LLC
3
.650
06/20/35
745,641‌
Series
-
2018
2A
(Class
B)
617,927
g
Sierra
Timeshare
Receivables
Funding
LLC
3
.200
01/20/36
592,286‌
Series
-
2019
1A
(Class
A)
1,323,622
g
Sierra
Timeshare
Receivables
Funding
LLC
0
.990
11/20/37
1,225,965‌
Series
-
2021
1A
(Class
A)
1,435,163
g
Sierra
Timeshare
Receivables
Funding
LLC
1
.340
11/20/37
1,321,090‌
Series
-
2021
1A
(Class
B)
795,660
g
Sierra
Timeshare
Receivables
Funding
LLC
1
.790
11/20/37
729,328‌
Series
-
2021
1A
(Class
C)
1,510,458
g
SMB
Private
Education
Loan
Trust
2
.430
02/17/32
1,451,867‌
Series
-
2016
B
(Class
A2A)
1,169,787
g
SMB
Private
Education
Loan
Trust
2
.880
09/15/34
1,120,301‌
Series
-
2017
A
(Class
A2A)
1,130,904
g
SMB
Private
Education
Loan
Trust
2
.820
10/15/35
1,075,857‌
Series
-
2017
B
(Class
A2A)
128,141
g
SoFi
Professional
Loan
Program
LLC
2
.740
05/25/40
127,169‌
Series
-
2017
B
(Class
A2FX)
100,870
g
SoFi
Professional
Loan
Program
LLC
2
.630
07/25/40
99,713‌
Series
-
2017
C
(Class
A2B)
1,135,318
g
SoFi
Professional
Loan
Program
LLC
2
.840
01/25/41
1,088,468‌
Series
-
2017
F
(Class
A2FX)
848,579
g
SoFi
Professional
Loan
Program
LLC
3
.690
06/15/48
810,129‌
Series
-
2019
A
(Class
A2FX)
780,174
†,g
SolarCity
LMC
4
.800
11/20/38
737,732‌
Series
-
2013
1
(Class
A)
13,525,600
g
Sonic
Capital
LLC
3
.845
01/20/50
12,228,928‌
Series
-
2020
1A
(Class
A2I)
3,801,016
g
SpringCastle
America
Funding
LLC
1
.970
09/25/37
3,397,853‌
Series
-
2020
AA
(Class
A)
3,950,000
g
Stack
Infrastructure
Issuer
LLC
1
.893
08/25/45
3,558,801‌
Series
-
2020
1A
(Class
A2)
153,339
i
Structured
Asset
Investment
Loan
Trust
LIBOR
1
M
+
0.900%
6
.050
09/25/34
150,682‌
Series
-
2004
8
(Class
M1)
1,786,000
g
Taco
Bell
Funding
LLC
4
.970
05/25/46
1,715,937‌
Series
-
2016
1A
(Class
A23)
15,025,190
g
Taco
Bell
Funding
LLC
1
.946
08/25/51
12,917,456‌
Series
-
2021
1A
(Class
A2I)
9,692,400
g
Taco
Bell
Funding
LLC
2
.294
08/25/51
7,957,470‌
Series
-
2021
1A
(Class
A2II)
5,250,000
g,i
TICP
CLO
VIII
Ltd
LIBOR
3
M
+
1.700%
6
.950
10/20/34
5,119,328‌
Series
-
2017
8A
(Class
A2R)
650,000
g
Tricon
American
Homes
Trust
2
.049
07/17/38
580,399‌
Series
-
2020
SFR1
(Class
B)
3,800,000
g,i
Ursa
Re
II
Ltd
U.S.
Treasury
Bill
3
M
+
3.940%
9
.208
12/07/23
3,773,020‌
Series
-
2020
A
(Class
AA)
5,693,878
g
Vine
2
.790
11/15/50
4,944,513‌
Series
-
2020
1A
(Class
A)
9,956,800
g
Wendy's
Funding
LLC
2
.370
06/15/51
8,233,636‌
Series
-
2021
1A
(Class
A2I)
TOTAL
ASSET
BACKED
531,082,415‌
OTHER
MORTGAGE
BACKED
-
12
.8
%
1,319,857
g,i
ACRE
Commercial
Mortgage
Ltd
SOFR
1
M
+
0.944%
6
.035
12/18/37
1,303,541‌
Series
-
2021
FL4
(Class
A)
Core
Bond
Fund
June
30,
2023
184
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
78,826
g,i
Agate
Bay
Mortgage
Trust
3
.500
%
09/25/45
$
70,330‌
Series
-
2015
6
(Class
A9)
4,335,000
g,i
Angel
Oak
Mortgage
Trust
2
.837
11/25/66
2,915,990‌
Series
-
2021
8
(Class
A3)
1,870,000
g
BAMLL
Commercial
Mortgage
Securities
Trust
3
.490
04/14/33
1,711,254‌
Series
-
2015
200P
(Class
B)
2,486,000
Banc
of
America
Commercial
Mortgage
Trust
3
.705
09/15/48
2,358,175‌
Series
-
2015
UBS7
(Class
A4)
1,910,000
i
Banc
of
America
Commercial
Mortgage
Trust
4
.483
09/15/48
1,710,993‌
Series
-
2015
UBS7
(Class
B)
4,280,777
Banc
of
America
Commercial
Mortgage
Trust
3
.366
02/15/50
4,089,504‌
Series
-
2017
BNK3
(Class
ASB)
5,055,000
BANK
3
.731
11/15/50
4,510,842‌
Series
-
2017
BNK8
(Class
AS)
3,000,000
i
BANK
4
.088
11/15/50
2,539,417‌
Series
-
2017
BNK8
(Class
B)
1,000,000
i
BANK
4
.232
11/15/50
791,306‌
Series
-
2017
BNK8
(Class
C)
3,750,000
g
BANK
2
.500
10/17/52
2,121,881‌
Series
-
2019
BN21
(Class
D)
1,000,000
BANK
3
.093
10/17/52
831,573‌
Series
-
2019
BN21
(Class
AS)
2,500,000
BANK
3
.203
12/15/52
2,124,945‌
Series
-
2019
BN23
(Class
AS)
1,637,000
BANK
3
.455
12/15/52
1,318,193‌
Series
-
2019
BN23
(Class
B)
4,621,000
BANK
1
.925
12/15/53
3,567,885‌
Series
-
2020
BN30
(Class
A4)
50,000
BANK
2
.036
02/15/54
39,883‌
Series
-
2021
BN31
(Class
A4)
12,864,000
BANK
2
.928
02/15/55
10,768,927‌
Series
-
2022
BNK39
(Class
A4)
4,000,000
i
BANK
6
.260
04/15/56
4,074,016‌
Series
-
2023
5YR1
(Class
A3)
5,773,092
BANK
3
.289
07/15/60
5,518,332‌
Series
-
2017
BNK6
(Class
ASB)
2,550,000
i
BANK
3
.283
11/15/62
2,162,802‌
Series
-
2019
BN24
(Class
AS)
11,716,000
BANK
2
.438
06/15/63
9,359,895‌
Series
-
2021
BN34
(Class
A5)
8,600,000
i
BANK
3
.507
03/15/64
7,499,601‌
Series
-
2022
BNK40
(Class
A4)
3,330,000
i
BANK
3
.916
04/15/65
2,995,508‌
Series
-
2022
BNK41
(Class
A4)
5,093,756
g,i
Bayview
MSR
Opportunity
Master
Fund
Trust
3
.000
10/25/51
4,123,208‌
Series
-
2021
6
(Class
A19)
7,504,105
g,i
Bayview
MSR
Opportunity
Master
Fund
Trust
3
.000
02/25/52
6,074,298‌
Series
-
2022
5
(Class
A19)
1,250,000
g,i
BBCMS
Mortgage
Trust
4
.409
08/05/38
842,677‌
Series
-
2018
CHRS
(Class
E)
4,400,000
h,i
BBCMS
Mortgage
Trust
6
.383
07/15/56
4,478,672‌
Series
-
2023
C20
(Class
A2)
1,500,000
g
BBCMS
Trust
4
.798
08/10/35
1,305,869‌
Series
-
2015
SRCH
(Class
C)
2,575,000
g,i
Benchmark
Mortgage
Trust
2
.791
09/15/48
2,066,684‌
Series
-
2020
IG2
(Class
AM)
2,500,000
g,i
Benchmark
Mortgage
Trust
3
.233
09/15/48
2,059,355‌
Series
-
2020
IG3
(Class
AS)
2,500,000
g,i
Benchmark
Mortgage
Trust
3
.654
09/15/48
2,142,566‌
Series
-
2020
IG3
(Class
BXA)
185
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
1,380,000
Benchmark
Mortgage
Trust
4
.016
%
03/15/52
$
1,254,476‌
Series
-
2019
B9
(Class
A5)
1,250,000
i
Benchmark
Mortgage
Trust
4
.971
03/15/52
958,943‌
Series
-
2019
B9
(Class
C)
2,500,000
Benchmark
Mortgage
Trust
3
.542
05/15/52
2,204,679‌
Series
-
2019
B11
(Class
A5)
550,000
Benchmark
Mortgage
Trust
3
.419
08/15/52
475,242‌
Series
-
2019
B12
(Class
AS)
1,200,000
i
Benchmark
Mortgage
Trust
4
.510
05/15/53
1,130,318‌
Series
-
2018
B7
(Class
A4)
24,906,000
Benchmark
Mortgage
Trust
2
.584
03/15/54
19,918,785‌
Series
-
2021
B24
(Class
A5)
7,118,000
Benchmark
Mortgage
Trust
2
.224
08/15/54
5,653,143‌
Series
-
2021
B28
(Class
A5)
5,250,000
i
Benchmark
Mortgage
Trust
2
.244
08/15/54
3,720,031‌
Series
-
2021
B28
(Class
B)
9,000,000
Benchmark
Mortgage
Trust
2
.429
08/15/54
6,956,472‌
Series
-
2021
B28
(Class
AS)
14,500,000
h
Benchmark
Mortgage
Trust
5
.750
07/15/55
14,916,720‌
Series
-
2023
B39
(Class
A5)
3,000,000
Benchmark
Mortgage
Trust
5
.626
04/15/56
2,939,093‌
Series
-
2023
B38
(Class
A2)
1,680,000
g
Benchmark
Mortgage
Trust
2
.500
12/15/62
954,498‌
Series
-
2019
B14
(Class
D)
4,740,000
Benchmark
Mortgage
Trust
3
.049
12/15/62
4,098,667‌
Series
-
2019
B14
(Class
A5)
15,830,000
BENCHMARK
Mortgage
Trust
2
.390
07/15/54
12,415,165‌
Series
-
2021
B27
(Class
A5)
1,472,819
g,i
BX
TRUST
SOFR
1
M
+
2.949%
8
.096
08/15/39
1,466,351‌
Series
-
2022
PSB
(Class
B)
4,500,000
g,i
BXP
Trust
2
.868
01/15/44
2,730,530‌
Series
-
2021
601L
(Class
D)
6,500,000
i
CD
Mortgage
Trust
3
.879
11/10/49
5,256,055‌
Series
-
2016
CD2
(Class
B)
3,030,000
i
CD
Mortgage
Trust
4
.112
11/10/49
2,353,040‌
Series
-
2016
CD2
(Class
C)
6,560,871
CD
Mortgage
Trust
3
.453
02/10/50
6,232,345‌
Series
-
2017
CD3
(Class
AAB)
5,555,000
CD
Mortgage
Trust
3
.833
02/10/50
4,546,741‌
Series
-
2017
CD3
(Class
AS)
6,635,000
i
CD
Mortgage
Trust
3
.984
02/10/50
4,682,732‌
Series
-
2017
CD3
(Class
B)
3,630,000
i
CD
Mortgage
Trust
4
.697
02/10/50
2,203,917‌
Series
-
2017
CD3
(Class
C)
5,000,000
i
CD
Mortgage
Trust
3
.684
08/15/50
4,508,585‌
Series
-
2017
CD5
(Class
AS)
3,600,000
CD
Mortgage
Trust
2
.812
08/15/57
3,243,348‌
Series
-
2019
CD8
(Class
ASB)
48,965
g,i
CF
Mortgage
Trust
2
.840
04/15/25
46,651‌
Series
-
2020
P1
(Class
A1)
1,750,000
g,i
CF
Mortgage
Trust
3
.603
04/15/52
1,580,526‌
Series
-
2020
P1
(Class
A2)
1,175,400
CGMS
Commercial
Mortgage
Trust
3
.458
08/15/50
1,075,021‌
Series
-
2017
B1
(Class
A4)
72,117
i
CHL
Mortgage
Pass-Through
Trust
3
.864
02/20/35
71,919‌
Series
-
2004
HYB9
(Class
1A1)
1,750,000
g,i
Citigroup
Commercial
Mortgage
Trust
3
.635
05/10/35
1,592,888‌
Series
-
2013
375P
(Class
B)
2,000,000
g
Citigroup
Commercial
Mortgage
Trust
3
.896
05/10/36
1,976,550‌
Series
-
2019
PRM
(Class
C)
Core
Bond
Fund
June
30,
2023
186
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
1,000,000
g,i
Citigroup
Commercial
Mortgage
Trust
4
.629
%
07/10/47
$
844,418‌
Series
-
2014
GC23
(Class
D)
3,023,000
Citigroup
Commercial
Mortgage
Trust
4
.017
10/10/47
2,867,102‌
Series
-
2014
GC25
(Class
AS)
500,000
i
Citigroup
Commercial
Mortgage
Trust
3
.758
04/10/48
462,964‌
Series
-
2015
GC29
(Class
B)
2,000,000
i
Citigroup
Commercial
Mortgage
Trust
4
.277
04/10/48
1,809,828‌
Series
-
2015
GC29
(Class
C)
6,000,000
g,i
COMM
Mortgage
Trust
3
.712
10/10/29
5,543,755‌
Series
-
2017
PANW
(Class
C)
131,100
g
COMM
Mortgage
Trust
3
.178
02/10/35
121,802‌
Series
-
2015
3BP
(Class
A)
227,620
COMM
Mortgage
Trust
2
.853
10/15/45
212,654‌
Series
-
2012
CR4
(Class
A3)
2,000,000
g,i
COMM
Mortgage
Trust
5
.009
08/10/46
1,984,638‌
Series
-
2013
LC13
(Class
B)
1,500,000
g,i
COMM
Mortgage
Trust
5
.021
08/10/46
1,455,322‌
Series
-
2013
CR10
(Class
C)
6,500,000
i
COMM
Mortgage
Trust
4
.729
02/10/47
6,176,936‌
Series
-
2014
CR14
(Class
B)
1,235,000
COMM
Mortgage
Trust
4
.199
03/10/47
1,211,674‌
Series
-
2014
UBS2
(Class
AM)
2,537,089
COMM
Mortgage
Trust
4
.701
03/10/47
2,459,397‌
Series
-
2014
UBS2
(Class
B)
2,798,577
i
COMM
Mortgage
Trust
4
.947
03/10/47
2,608,810‌
Series
-
2014
UBS2
(Class
C)
1,200,000
i
COMM
Mortgage
Trust
5
.170
04/10/47
1,113,410‌
Series
-
2014
LC15
(Class
C)
750,000
COMM
Mortgage
Trust
4
.174
05/10/47
716,793‌
Series
-
2014
CR17
(Class
AM)
2,500,000
COMM
Mortgage
Trust
4
.377
05/10/47
2,256,282‌
Series
-
2014
CR17
(Class
B)
3,225,000
COMM
Mortgage
Trust
3
.819
06/10/47
3,133,396‌
Series
-
2014
UBS3
(Class
A4)
5,150,000
g,i
COMM
Mortgage
Trust
4
.767
06/10/47
3,522,370‌
Series
-
2014
UBS3
(Class
D)
3,896,000
i
COMM
Mortgage
Trust
4
.893
06/10/47
3,594,922‌
Series
-
2014
UBS3
(Class
C)
6,400,000
COMM
Mortgage
Trust
3
.917
10/10/47
6,194,627‌
Series
-
2014
LC17
(Class
A5)
605,197
COMM
Mortgage
Trust
3
.040
02/10/48
589,795‌
Series
-
2015
LC19
(Class
ASB)
2,498,000
i
COMM
Mortgage
Trust
3
.829
02/10/48
2,250,642‌
Series
-
2015
LC19
(Class
B)
2,497,000
g
COMM
Mortgage
Trust
3
.000
03/10/48
1,837,268‌
Series
-
2015
CR22
(Class
E)
575,000
i
COMM
Mortgage
Trust
3
.603
03/10/48
540,748‌
Series
-
2015
CR22
(Class
AM)
4,250,000
i
COMM
Mortgage
Trust
3
.926
03/10/48
3,848,342‌
Series
-
2015
CR22
(Class
B)
2,000,000
g,i
COMM
Mortgage
Trust
4
.204
03/10/48
1,593,062‌
Series
-
2015
CR22
(Class
D)
1,000,000
i
COMM
Mortgage
Trust
4
.204
03/10/48
895,383‌
Series
-
2015
CR22
(Class
C)
2,000,000
COMM
Mortgage
Trust
3
.801
05/10/48
1,868,894‌
Series
-
2015
CR23
(Class
AM)
3,936,016
i
COMM
Mortgage
Trust
4
.183
05/10/48
3,653,389‌
Series
-
2015
CR23
(Class
B)
2,500,000
i
COMM
Mortgage
Trust
4
.443
05/10/48
2,167,575‌
Series
-
2015
CR23
(Class
C)
187
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,500,000
i
COMM
Mortgage
Trust
4
.443
%
05/10/48
$
1,939,670‌
Series
-
2015
CR23
(Class
D)
1,664,719
COMM
Mortgage
Trust
3
.432
08/10/48
1,583,017‌
Series
-
2015
CR24
(Class
A4)
1,500,000
i
COMM
Mortgage
Trust
3
.463
08/10/48
1,193,222‌
Series
-
2015
CR24
(Class
D)
3,640,000
i
COMM
Mortgage
Trust
4
.028
08/10/48
3,418,193‌
Series
-
2015
CR24
(Class
AM)
1,000,000
i
COMM
Mortgage
Trust
4
.490
08/10/48
914,670‌
Series
-
2015
CR24
(Class
B)
2,000,000
i
COMM
Mortgage
Trust
4
.490
08/10/48
1,758,254‌
Series
-
2015
CR24
(Class
C)
2,250,000
i
COMM
Mortgage
Trust
4
.667
08/10/48
2,095,708‌
Series
-
2015
CR25
(Class
B)
2,600,000
COMM
Mortgage
Trust
3
.630
10/10/48
2,455,598‌
Series
-
2015
CR26
(Class
A4)
1,000,000
COMM
Mortgage
Trust
3
.984
10/10/48
936,261‌
Series
-
2015
CR27
(Class
AM)
3,731,000
i
COMM
Mortgage
Trust
4
.615
10/10/48
3,330,451‌
Series
-
2015
CR26
(Class
C)
1,627,000
i
COMM
Mortgage
Trust
4
.615
10/10/48
1,498,460‌
Series
-
2015
CR26
(Class
B)
7,724,000
i
COMM
Mortgage
Trust
4
.698
10/10/48
6,919,441‌
Series
-
2015
LC23
(Class
C)
1,080,000
COMM
Mortgage
Trust
3
.762
02/10/49
1,021,076‌
Series
-
2016
CR28
(Class
A4)
5,000,000
i
COMM
Mortgage
Trust
4
.758
02/10/49
4,523,525‌
Series
-
2016
CR28
(Class
B)
1,250,000
COMM
Mortgage
Trust
3
.263
08/15/57
1,052,143‌
Series
-
2019
GC44
(Class
AM)
5,725,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
1.900%
6
.967
12/25/41
5,584,003‌
Series
-
2022
R01
(Class
1M2)
5,000,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.500%
9
.567
01/25/42
5,029,666‌
Series
-
2022
R02
(Class
2B1)
3,377,600
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
6.250%
6
.349
03/25/42
3,633,250‌
Series
-
2022
R03
(Class
1B1)
13,155,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.100%
8
.167
03/25/42
13,300,037‌
Series
-
2022
R04
(Class
1M2)
15,055,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.500%
8
.567
03/25/42
15,382,506‌
Series
-
2022
R03
(Class
1M2)
4,779,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.000%
8
.067
04/25/42
4,766,094‌
Series
-
2022
R05
(Class
2M2)
25,430,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.850%
8
.917
05/25/42
26,223,782‌
Series
-
2022
R06
(Class
1M2)
19,660,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.650%
9
.717
06/25/42
20,812,705‌
Series
-
2022
R07
(Class
1M2)
7,725,000
g,i
Connecticut
Avenue
Securities
Trust
SOFR
+
3.600%
8
.667
07/25/42
7,899,086‌
Series
-
2022
R08
(Class
1M2)
9,630,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.750%
9
.817
09/25/42
10,158,781‌
Series
-
2022
R09
(Class
2M2)
10,500,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.750%
8
.817
12/25/42
10,777,225‌
Series
-
2023
R01
(Class
1M2)
1,000,000
g,i
CPT
Mortgage
Trust
3
.097
11/13/39
621,836‌
Series
-
2019
CPT
(Class
E)
115,912
g,i
Credit
Suisse
Mortgage
Capital
Certificates
LIBOR
1
M
+
0.980%
6
.173
05/15/36
115,371‌
Series
-
2019
ICE4
(Class
A)
2,992,555
g,i
Credit
Suisse
Mortgage
Capital
Certificates
LIBOR
1
M
+
1.600%
6
.793
05/15/36
2,958,276‌
Series
-
2019
ICE4
(Class
D)
6,698,305
g,i
Credit
Suisse
Mortgage
Capital
Certificates
2
.405
10/25/66
5,416,919‌
Series
-
2021
NQM8
(Class
A3)
Core
Bond
Fund
June
30,
2023
188
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,500,000
g,i
CSMC
Series
3
.388
%
10/25/59
$
2,155,835‌
Series
-
2019
NQM1
(Class
M1)
4,750,000
DBGS
Mortgage
Trust
4
.466
10/15/51
4,451,467‌
Series
-
2018
C1
(Class
A4)
5,000,000
DBJPM
Mortgage
Trust
2
.340
08/15/53
3,849,786‌
Series
-
2020
C9
(Class
AM)
1,200,000
g
DBUBS
Mortgage
Trust
3
.452
10/10/34
1,085,195‌
Series
-
2017
BRBK
(Class
A)
1,213,144
g,i
Flagstar
Mortgage
Trust
4
.013
10/25/47
1,067,374‌
Series
-
2017
2
(Class
B3)
65,079
g,i
Flagstar
Mortgage
Trust
4
.000
09/25/48
60,133‌
Series
-
2018
5
(Class
A11)
1,935,888
g,i
Flagstar
Mortgage
Trust
2
.500
04/25/51
1,503,003‌
Series
-
2021
2
(Class
A4)
6,236,760
g,i
Flagstar
Mortgage
Trust
2
.500
06/01/51
4,834,389‌
Series
-
2021
4
(Class
A21)
22,455,779
g,i
Flagstar
Mortgage
Trust
3
.000
10/25/51
18,177,129‌
Series
-
2021
10INV
(Class
A17)
11,601,095
Freddie
Mac
REMICS
3
.000
09/25/50
8,218,912‌
Series
-
2021
5160
(Class
ZG)
380,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
1.500%
6
.567
10/25/41
370,785‌
Series
-
2021
DNA6
(Class
M2)
4,100,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
2.500%
7
.567
01/25/42
3,973,183‌
Series
-
2022
DNA1
(Class
M2)
28,230,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
2.900%
7
.967
04/25/42
28,218,685‌
Series
-
2022
DNA3
(Class
M1B)
3,880,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
5.650%
8
.647
04/25/42
3,987,834‌
Series
-
2022
DNA3
(Class
B1)
1,260,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
4.350%
9
.417
04/25/42
1,299,770‌
Series
-
2022
DNA3
(Class
M2)
20,930,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.350%
8
.417
05/25/42
21,190,340‌
Series
-
2022
DNA4
(Class
M1B)
2,500,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.550%
8
.617
08/25/42
2,537,898‌
Series
-
2022
HQA3
(Class
M1B)
13,150,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.700%
8
.767
09/25/42
13,575,769‌
Series
-
2022
DNA6
(Class
M1B)
2,890,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.750%
9
.817
02/25/42
2,883,356‌
Series
-
2022
DNA2
(Class
B1)
35,901
g
GS
Mortgage
Securities
Corp
II
3
.419
10/10/32
34,974‌
Series
-
2017
SLP
(Class
A)
1,000,000
g,i
GS
Mortgage
Securities
Corp
II
LIBOR
1
M
+
3.350%
8
.543
11/15/36
947,479‌
Series
-
2021
ARDN
(Class
E)
1,238,000
g,i
GS
Mortgage
Securities
Corp
II
3
.591
09/10/37
1,083,171‌
Series
-
2017
375H
(Class
A)
2,590,000
i
GS
Mortgage
Securities
Corp
II
3
.777
05/10/50
2,429,152‌
Series
-
2015
GC30
(Class
AS)
3,010,000
i
GS
Mortgage
Securities
Corp
II
3
.992
03/10/51
2,801,780‌
Series
-
2018
GS9
(Class
A4)
1,500,000
i
GS
Mortgage
Securities
Corp
II
4
.155
07/10/51
1,393,081‌
Series
-
2018
GS10
(Class
A5)
2,000,000
g,i
GS
Mortgage
Securities
Trust
LIBOR
1
M
+
1.700%
6
.893
07/15/31
1,581,622‌
Series
-
2018
TWR
(Class
C)
1,701,060
g,i
GS
Mortgage
Securities
Trust
4
.285
02/10/46
1,635,772‌
Series
-
2013
GC10
(Class
C)
2,950,000
i
GS
Mortgage
Securities
Trust
4
.453
02/10/48
2,704,702‌
Series
-
2015
GC28
(Class
C)
3,500,000
i
GS
Mortgage
Securities
Trust
4
.018
07/10/48
3,278,100‌
Series
-
2015
GC32
(Class
AS)
3,779,000
i
GS
Mortgage
Securities
Trust
4
.113
10/10/49
3,084,399‌
Series
-
2016
GS3
(Class
C)
189
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
4,185,000
i
GS
Mortgage
Securities
Trust
4
.078
%
11/10/49
$
3,389,229‌
Series
-
2016
GS4
(Class
C)
5,587,830
GS
Mortgage
Securities
Trust
3
.467
03/10/50
5,287,516‌
Series
-
2017
GS5
(Class
AAB)
9,100,951
GS
Mortgage
Securities
Trust
3
.674
03/10/50
8,279,660‌
Series
-
2017
GS5
(Class
A4)
4,300,000
GS
Mortgage
Securities
Trust
3
.433
05/10/50
3,935,539‌
Series
-
2017
GS6
(Class
A3)
3,000,000
GS
Mortgage
Securities
Trust
3
.837
11/10/50
2,767,871‌
Series
-
2017
GS8
(Class
ABP)
2,500,000
i
GS
Mortgage
Securities
Trust
4
.468
11/10/50
2,076,169‌
Series
-
2017
GS8
(Class
C)
1,260,000
GS
Mortgage
Securities
Trust
3
.968
02/10/52
1,170,614‌
Series
-
2019
GC38
(Class
A4)
2,400,000
i
GS
Mortgage
Securities
Trust
4
.158
02/10/52
2,146,041‌
Series
-
2019
GC38
(Class
AS)
1,000,000
i
GS
Mortgage
Securities
Trust
4
.761
02/10/52
817,051‌
Series
-
2019
GC38
(Class
C)
5,510,000
GS
Mortgage
Securities
Trust
3
.001
09/10/52
4,757,889‌
Series
-
2019
GC42
(Class
A4)
1,361,000
i
GS
Mortgage
Securities
Trust
3
.405
02/13/53
1,083,559‌
Series
-
2020
GC45
(Class
B)
5,500,000
GS
Mortgage
Securities
Trust
2
.012
12/12/53
4,333,322‌
Series
-
2020
GSA2
(Class
A5)
148,172
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
4
.000
11/25/49
137,919‌
Series
-
2019
PJ2
(Class
A1)
386,760
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
4
.000
11/25/49
359,510‌
Series
-
2019
PJ2
(Class
A4)
778,651
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
01/25/51
654,556‌
Series
-
2020
PJ4
(Class
A4)
1,154,376
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
03/27/51
961,110‌
Series
-
2020
PJ5
(Class
A4)
2,162,714
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
2
.500
05/25/51
1,676,415‌
Series
-
2020
PJ6
(Class
A4)
87,380,094
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
0
.150
08/25/51
611,215‌
Series
-
2021
PJ3
(Class
AX1)
9,287,542
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
2
.500
10/25/51
7,210,749‌
Series
-
2021
PJ5
(Class
A4)
11,258,983
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
06/25/52
9,085,695‌
Series
-
2022
PJ2
(Class
A36)
3,552,549
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
09/25/52
2,866,811‌
Series
-
2022
PJ4
(Class
A36)
1,002,780
g,i
GS
Mortgage-Backed
Securities
Trust
3
.632
05/25/50
829,385‌
Series
-
2020
PJ1
(Class
B2)
2,676,404
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
07/25/51
2,074,599‌
Series
-
2021
PJ2
(Class
A4)
13,174,221
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
11/25/51
10,293,940‌
Series
-
2021
PJ6
(Class
A4)
18,987,923
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
01/25/52
14,718,380‌
Series
-
2021
PJ7
(Class
A4)
9,753,945
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
01/25/52
7,560,715‌
Series
-
2021
PJ8
(Class
A4)
3,284,056
g,i
GS
Mortgage-Backed
Securities
Trust
2
.713
01/25/52
2,421,469‌
Series
-
2021
PJ7
(Class
B2)
8,617,701
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
03/25/52
6,679,962‌
Series
-
2021
PJ10
(Class
A4)
8,429,396
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
05/01/52
7,189,795‌
Series
-
2022
PJ1
(Class
A8)
2,743,114
g,i
GS
Mortgage-Backed
Securities
Trust
2
.823
05/28/52
2,095,080‌
Series
-
2022
PJ1
(Class
B2)
Core
Bond
Fund
June
30,
2023
190
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
6,842,914
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
%
07/25/52
$
5,539,088‌
Series
-
2022
INV1
(Class
A4)
8,235,781
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
08/26/52
6,666,562‌
Series
-
2022
GR2
(Class
A4)
7,815,602
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
09/25/52
6,326,443‌
Series
-
2022
HP1
(Class
A4)
6,176,166
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
10/25/52
4,983,999‌
Series
-
2022
PJ5
(Class
A36)
5,005,313
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
01/25/53
4,051,617‌
Series
-
2022
PJ6
(Class
A24)
7,671,993
g,i
GS
Mortgage-Backed
Securities
Trust
3
.500
02/25/53
6,496,777‌
Series
-
2023
PJ1
(Class
A24)
759,011
i
HarborView
Mortgage
Loan
Trust
LIBOR
1
M
+
0.620%
5
.777
08/19/45
696,565‌
Series
-
2005
11
(Class
2A1A)
2,000,000
g
Hudson
Yards
Mortgage
Trust
2
.835
08/10/38
1,798,704‌
Series
-
2016
10HY
(Class
A)
3,500,000
g,i
Hudson
Yards
Mortgage
Trust
3
.076
08/10/38
3,048,774‌
Series
-
2016
10HY
(Class
C)
3,000,000
g,i
Hudson
Yards
Mortgage
Trust
3
.076
08/10/38
2,653,635‌
Series
-
2016
10HY
(Class
B)
4,700,000
g,i
Hudson
Yards
Mortgage
Trust
3
.041
12/10/41
3,406,045‌
Series
-
2019
55HY
(Class
D)
2,750,000
g,i
Hudson
Yards
Mortgage
Trust
3
.041
12/10/41
1,894,322‌
Series
-
2019
55HY
(Class
E)
75,520
i
Impac
CMB
Trust
LIBOR
1
M
+
0.660%
5
.810
03/25/35
70,526‌
Series
-
2004
11
(Class
2A1)
2,624,784
g,i
Imperial
Fund
Mortgage
Trust
2
.051
10/25/55
2,323,909‌
Series
-
2020
NQM1
(Class
A3)
1,000,000
g,i
Imperial
Fund
Mortgage
Trust
3
.531
10/25/55
829,074‌
Series
-
2020
NQM1
(Class
M1)
3,000,000
g
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
4
.379
07/05/31
2,487,000‌
Series
-
2018
AON
(Class
B)
1,700,000
g,i
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
4
.230
01/15/46
1,460,800‌
Series
-
2013
C13
(Class
D)
500,000
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
3
.379
09/15/50
481,942‌
Series
-
2017
JP7
(Class
A3)
1,000,000
g
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
3
.620
01/16/37
844,775‌
Series
-
2020
NNN
(Class
DFX)
2,805,684
g,i
JP
Morgan
Mortgage
Trust
LIBOR
1
M
-
0.000%
6
.191
12/25/44
2,665,625‌
Series
-
2015
1
(Class
B1)
69,548
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/45
62,045‌
Series
-
2015
3
(Class
A19)
420,181
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/45
376,916‌
Series
-
2015
6
(Class
A13)
179,187
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/46
158,553‌
Series
-
2016
1
(Class
A13)
1,200,693
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/47
1,059,859‌
Series
-
2017
2
(Class
A13)
1,318,841
g,i
JP
Morgan
Mortgage
Trust
3
.500
09/25/48
1,141,532‌
Series
-
2018
3
(Class
A13)
751,548
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/48
655,629‌
Series
-
2018
4
(Class
A13)
2,539,671
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/48
2,183,702‌
Series
-
2018
5
(Class
A13)
1,255,928
g,i
JP
Morgan
Mortgage
Trust
3
.356
10/26/48
1,202,973‌
Series
-
2017
5
(Class
A2)
134,623
g,i
JP
Morgan
Mortgage
Trust
4
.000
01/25/49
123,861‌
Series
-
2018
8
(Class
A13)
191
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
138,231
g,i
JP
Morgan
Mortgage
Trust
4
.000
%
02/25/49
$
126,610‌
Series
-
2018
9
(Class
A13)
98,137
g,i
JP
Morgan
Mortgage
Trust
4
.000
05/25/49
90,761‌
Series
-
2019
1
(Class
A3)
51,503
g,i
JP
Morgan
Mortgage
Trust
4
.000
05/25/49
47,406‌
Series
-
2019
1
(Class
A15)
602,249
g,i
JP
Morgan
Mortgage
Trust
LIBOR
1
M
+
0.950%
6
.088
10/25/49
582,374‌
Series
-
2019
INV1
(Class
A11)
3,548,885
g,i
JP
Morgan
Mortgage
Trust
3
.833
06/25/50
2,999,327‌
Series
-
2020
1
(Class
B2)
27,305,826
g,i
JP
Morgan
Mortgage
Trust
0
.143
07/25/51
185,486‌
Series
-
2021
3
(Class
AX1)
19,462,777
g,i
JP
Morgan
Mortgage
Trust
0
.132
08/25/51
122,629‌
Series
-
2021
4
(Class
AX1)
2,160,566
g,i
JP
Morgan
Mortgage
Trust
2
.882
08/25/51
1,649,227‌
Series
-
2021
4
(Class
B2)
37,159,660
g,i
JP
Morgan
Mortgage
Trust
0
.137
10/25/51
240,999‌
Series
-
2021
6
(Class
AX1)
4,688,444
g,i
JP
Morgan
Mortgage
Trust
2
.500
10/25/51
3,640,058‌
Series
-
2021
6
(Class
A15)
3,871,019
g,i
JP
Morgan
Mortgage
Trust
2
.500
11/25/51
3,005,418‌
Series
-
2021
7
(Class
A15)
10,077,022
g,i
JP
Morgan
Mortgage
Trust
0
.400
12/25/51
218,757‌
Series
-
2021
INV2
(Class
AX4)
4,108,427
g,i
JP
Morgan
Mortgage
Trust
2
.500
12/25/51
3,189,739‌
Series
-
2021
8
(Class
A15)
2,243,182
g,i
JP
Morgan
Mortgage
Trust
2
.500
12/25/51
1,738,790‌
Series
-
2021
10
(Class
A15)
8,614,295
g,i
JP
Morgan
Mortgage
Trust
2
.500
01/25/52
6,677,322‌
Series
-
2021
11
(Class
A15)
2,366,006
g,i
JP
Morgan
Mortgage
Trust
2
.500
02/25/52
1,833,996‌
Series
-
2021
12
(Class
A15)
10,014,405
g,i
JP
Morgan
Mortgage
Trust
0
.500
04/25/52
268,625‌
Series
-
2021
INV6
(Class
A5X)
6,777,816
g,i
JP
Morgan
Mortgage
Trust
3
.347
04/25/52
5,427,225‌
Series
-
2021
INV6
(Class
B1)
4,341,826
g,i
JP
Morgan
Mortgage
Trust
3
.347
04/25/52
3,391,091‌
Series
-
2021
INV6
(Class
B2)
3,751,624
g,i
JP
Morgan
Mortgage
Trust
2
.500
05/25/52
2,908,050‌
Series
-
2021
14
(Class
A15)
2,395,651
g,i
JP
Morgan
Mortgage
Trust
2
.927
05/25/52
1,819,187‌
Series
-
2021
LTV2
(Class
A3)
12,462,911
g,i
JP
Morgan
Mortgage
Trust
2
.500
06/25/52
9,660,554‌
Series
-
2021
15
(Class
A15)
13,064,461
g,i
JP
Morgan
Mortgage
Trust
2
.500
07/25/52
10,126,843‌
Series
-
2022
1
(Class
A15)
22,524,330
g,i
JP
Morgan
Mortgage
Trust
3
.250
07/25/52
18,859,732‌
Series
-
2022
LTV1
(Class
A1)
14,235,835
g,i
JP
Morgan
Mortgage
Trust
3
.000
08/25/52
11,487,934‌
Series
-
2022
3
(Class
A25)
15,850,014
g,i
JP
Morgan
Mortgage
Trust
3
.000
08/25/52
12,830,005‌
Series
-
2022
2
(Class
A25)
7,009,406
g,i
JP
Morgan
Mortgage
Trust
3
.000
09/25/52
5,696,654‌
Series
-
2022
INV3
(Class
A6)
9,849,966
g,i
JP
Morgan
Mortgage
Trust
3
.500
09/25/52
8,302,760‌
Series
-
2022
LTV2
(Class
A6)
8,465,834
g,i
JP
Morgan
Mortgage
Trust
3
.000
10/25/52
6,852,782‌
Series
-
2022
4
(Class
A17A)
5,406,000
g,i
JP
Morgan
Mortgage
Trust
3
.000
11/25/52
4,375,959‌
Series
-
2022
6
(Class
A17A)
Core
Bond
Fund
June
30,
2023
192
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
6,255,313
g,i
JP
Morgan
Mortgage
Trust
3
.000
%
12/25/52
$
5,063,447‌
Series
-
2022
7
(Class
1A17)
4,000,357
g,i
JP
Morgan
Mortgage
Trust
5
.000
06/25/53
3,732,676‌
Series
-
2023
1
(Class
A15A)
3,552,698
g,i
JP
Morgan
Mortgage
Trust
5
.500
06/25/53
3,387,831‌
Series
-
2023
1
(Class
A15B)
2,612,876
JPMBB
Commercial
Mortgage
Securities
Trust
3
.493
08/15/47
2,556,704‌
Series
-
2014
C21
(Class
A4)
4,500,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.629
09/15/47
4,238,904‌
Series
-
2014
C23
(Class
B)
1,500,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.629
09/15/47
1,395,310‌
Series
-
2014
C23
(Class
C)
1,000,000
JPMBB
Commercial
Mortgage
Securities
Trust
3
.898
02/15/48
917,929‌
Series
-
2015
C27
(Class
B)
2,000,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
3
.917
05/15/48
1,879,354‌
Series
-
2015
C29
(Class
AS)
1,600,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.118
05/15/48
1,460,416‌
Series
-
2015
C29
(Class
B)
6,000,000
JPMBB
Commercial
Mortgage
Securities
Trust
4
.106
08/15/48
5,591,204‌
Series
-
2015
C31
(Class
AS)
6,885,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.776
08/15/48
5,671,112‌
Series
-
2015
C31
(Class
B)
3,000,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.776
08/15/48
2,341,148‌
Series
-
2015
C31
(Class
C)
1,400,000
JPMBB
Commercial
Mortgage
Securities
Trust
3
.227
10/15/48
1,320,957‌
Series
-
2015
C28
(Class
A4)
3,016,000
JPMBB
Commercial
Mortgage
Securities
Trust
4
.023
12/15/48
2,806,035‌
Series
-
2015
C33
(Class
AS)
745,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.790
12/15/48
653,460‌
Series
-
2015
C33
(Class
C)
10,425,000
JPMBB
Commercial
Mortgage
Securities
Trust
3
.576
03/17/49
9,789,853‌
Series
-
2016
C1
(Class
A5)
2,645,000
g,i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.359
03/17/49
2,143,742‌
Series
-
2016
C1
(Class
D1)
1,606,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.859
03/17/49
1,430,129‌
Series
-
2016
C1
(Class
C)
862,854
JPMCC
Commercial
Mortgage
Securities
Trust
3
.457
03/15/50
817,885‌
Series
-
2017
JP5
(Class
A4)
2,000,000
i
JPMCC
Commercial
Mortgage
Securities
Trust
3
.777
09/15/50
1,550,538‌
Series
-
2017
JP7
(Class
C)
2,500,000
JPMCC
Commercial
Mortgage
Securities
Trust
3
.123
06/13/52
2,149,481‌
Series
-
2019
COR5
(Class
A3)
5,554,000
JPMDB
Commercial
Mortgage
Securities
Trust
2
.180
05/13/53
4,486,783‌
Series
-
2020
COR7
(Class
A5)
6,000,000
JPMDB
Commercial
Mortgage
Securities
Trust
2
.536
05/13/53
4,742,723‌
Series
-
2020
COR7
(Class
AS)
1,260,682
g
Ladder
Capital
Commercial
Mortgage
Securities
3
.575
02/15/36
1,155,498‌
Series
-
2013
GCP
(Class
A1)
752,416
g
LSTAR
Commercial
Mortgage
Trust
2
.579
03/10/49
751,096‌
Series
-
2016
4
(Class
A2)
12,000,000
g,i
MAD
Mortgage
Trust
3
.294
08/15/34
11,043,323‌
Series
-
2017
330M
(Class
A)
1,500,000
g,i
Manhattan
West
2
.413
09/10/39
1,268,723‌
Series
-
2020
1MW
(Class
B)
1,601,348
i
Merrill
Lynch
Mortgage
Investors
Trust
LIBOR
1
M
+
0.520%
2
.278
01/25/37
1,489,334‌
Series
-
2006
WMC1
(Class
A1B)
2,838,817
g
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3
.989
12/15/46
2,578,394‌
Series
-
2014
C19
(Class
LNC1)
896,941
g
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
4
.384
12/15/46
798,531‌
Series
-
2014
C19
(Class
LNC2)
193
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
1,500,000
i
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
5
.037
%
02/15/47
$
1,470,165‌
Series
-
2014
C14
(Class
B)
1,305,000
i
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
5
.227
02/15/47
1,272,424‌
Series
-
2014
C14
(Class
C)
2,070,000
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3
.832
12/15/47
1,967,505‌
Series
-
2014
C19
(Class
AS)
3,500,000
i
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
4
.000
12/15/47
3,246,201‌
Series
-
2014
C19
(Class
B)
33,385
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3
.069
02/15/48
32,678‌
Series
-
2015
C20
(Class
ASB)
5,938,073
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3
.652
03/15/48
5,557,406‌
Series
-
2015
C21
(Class
AS)
3,360,000
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3
.561
04/15/48
3,140,380‌
Series
-
2015
C22
(Class
AS)
7,880,828
Morgan
Stanley
Capital
I
Trust
2
.606
08/15/49
7,469,624‌
Series
-
2016
UB11
(Class
ASB)
260,237
i
Morgan
Stanley
Capital
I
Trust
6
.282
12/12/49
110,374‌
Series
-
2007
IQ16
(Class
AJ)
1,300,000
Morgan
Stanley
Capital
I
Trust
3
.587
12/15/50
1,188,651‌
Series
-
2017
HR2
(Class
A4)
1,000,000
Morgan
Stanley
Capital
I
Trust
4
.177
07/15/51
929,681‌
Series
-
2018
H3
(Class
A5)
3,142,000
i
Morgan
Stanley
Capital
I
Trust
4
.429
07/15/51
2,888,076‌
Series
-
2018
H3
(Class
AS)
2,702,127
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
07/25/51
2,318,474‌
Series
-
2021
4
(Class
A4)
7,855,285
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
08/25/51
6,088,979‌
Series
-
2021
5
(Class
A9)
8,313,578
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
09/25/51
7,134,763‌
Series
-
2021
6
(Class
A4)
5,840,284
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
09/25/51
4,527,063‌
Series
-
2021
6
(Class
A9)
2,000,000
g
MRCD
Mortgage
Trust
2
.718
12/15/36
1,763,510‌
Series
-
2019
PARK
(Class
D)
3,500,000
g
MRCD
Mortgage
Trust
2
.718
12/15/36
3,011,558‌
Series
-
2019
PARK
(Class
E)
1,500,000
g,i
MSDB
Trust
3
.427
07/11/39
1,278,861‌
Series
-
2017
712F
(Class
A)
6,300,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
1.579%
5
.915
07/15/36
5,933,637‌
Series
-
2019
MILE
(Class
A)
2,500,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
1.879%
7
.026
07/15/36
2,293,474‌
Series
-
2019
MILE
(Class
B)
703,488
g
Natixis
Commercial
Mortgage
Securities
Trust
2
.966
12/15/38
653,017‌
Series
-
2020
2PAC
(Class
A)
650,103
g,i
New
Residential
Mortgage
Loan
Trust
2
.797
09/25/59
588,552‌
Series
-
2019
NQM4
(Class
A3)
700,000
g,i
New
Residential
Mortgage
Loan
Trust
2
.986
09/25/59
555,083‌
Series
-
2019
NQM4
(Class
M1)
106,588
i
New
York
Mortgage
Trust
LIBOR
1
M
+
0.480%
5
.630
02/25/36
104,399‌
Series
-
2005
3
(Class
A1)
1,325,000
g,i
NLT
Trust
2
.569
08/25/56
862,967‌
Series
-
2021
INV2
(Class
M1)
10,274,613
g,i
OBX
Trust
2
.500
07/25/51
7,964,308‌
Series
-
2021
J2
(Class
A19)
8,351,481
g,i
OBX
Trust
4
.000
10/25/52
7,246,363‌
Series
-
2022
INV5
(Class
A13)
725,329
g,i
OBX
Trust
LIBOR
1
M
+
0.650%
5
.800
06/25/57
688,009‌
Series
-
2018
1
(Class
A2)
2,164,964
g,i
Oceanview
Mortgage
Trust
2
.500
05/25/51
1,680,855‌
Series
-
2021
1
(Class
A19)
Core
Bond
Fund
June
30,
2023
194
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,337,702
g,i
Oceanview
Mortgage
Trust
4
.500
%
11/25/52
$
2,152,070‌
Series
-
2022
1
(Class
A1)
3,000,000
g
One
Bryant
Park
Trust
2
.516
09/15/54
2,443,001‌
Series
-
2019
OBP
(Class
A)
20,445,000
g
One
Market
Plaza
Trust
3
.614
02/10/32
18,928,112‌
Series
-
2017
1MKT
(Class
A)
1,000,000
g
RBS
Commercial
Funding,
Inc
Trust
3
.511
03/11/31
848,136‌
Series
-
2013
SMV
(Class
B)
14,269,252
g,i
RCKT
Mortgage
Trust
2
.500
02/25/52
11,110,121‌
Series
-
2022
2
(Class
A22)
2,756,240
g,i
RCKT
Mortgage
Trust
3
.500
06/25/52
2,316,873‌
Series
-
2022
4
(Class
A22)
315,326
g,i
Sequoia
Mortgage
Trust
3
.500
05/25/45
282,737‌
Series
-
2015
2
(Class
A1)
236,462
g,i
Sequoia
Mortgage
Trust
3
.500
02/25/47
209,310‌
Series
-
2017
2
(Class
A19)
818,600
g,i
Sequoia
Mortgage
Trust
3
.726
09/25/47
740,417‌
Series
-
2017
6
(Class
B1)
514,932
g,i
Sequoia
Mortgage
Trust
3
.500
03/25/48
456,268‌
Series
-
2018
3
(Class
A1)
51,699
g,i
Sequoia
Mortgage
Trust
4
.000
09/25/48
47,602‌
Series
-
2018
7
(Class
A19)
161,096
g,i
Sequoia
Mortgage
Trust
4
.000
06/25/49
147,573‌
Series
-
2019
2
(Class
A19)
1,389,342
g,i
Sequoia
Mortgage
Trust
3
.500
12/25/49
1,230,597‌
Series
-
2019
5
(Class
A19)
2,757,574
g,i
Sequoia
Mortgage
Trust
3
.000
04/25/50
2,291,404‌
Series
-
2020
3
(Class
A19)
3,939,161
g,i
Sequoia
Mortgage
Trust
2
.500
06/25/51
3,058,323‌
Series
-
2021
4
(Class
A19)
213,475
g,i
Shellpoint
Co-Originator
Trust
3
.500
04/25/47
188,504‌
Series
-
2017
1
(Class
A19)
10,300,000
g
SLG
Office
Trust
2
.851
07/15/41
7,352,725‌
Series
-
2021
OVA
(Class
E)
2,319,312
g,i
SMR
Mortgage
Trust
SOFR
1
M
+
2.400%
7
.547
02/15/39
2,214,302‌
Series
-
2022
IND
(Class
B)
38,782
g,i
Structured
Agency
Credit
Risk
Debt
Note
(STACR)
3
.783
02/25/48
35,937‌
Series
-
2018
SPI1
(Class
M2)
98,323
g,i
STACR
3
.833
05/25/48
93,433‌
Series
-
2018
SPI2
(Class
M2)
2,250,000
UBS
Commercial
Mortgage
Trust
4
.334
10/15/51
2,104,430‌
Series
-
2018
C13
(Class
A4)
428,001
g,i
UBS-Barclays
Commercial
Mortgage
Trust
3
.649
03/10/46
392,561‌
Series
-
2013
C5
(Class
B)
1,225,000
g,i
Verus
Securitization
Trust
3
.207
11/25/59
1,069,247‌
Series
-
2019
4
(Class
M1)
612,632
g
Verus
Securitization
Trust
1
.733
05/25/65
554,387‌
Series
-
2020
5
(Class
A3)
7,153,433
g,i
Verus
Securitization
Trust
2
.240
10/25/66
5,839,206‌
Series
-
2021
7
(Class
A3)
613,715
g
VSE
VOI
Mortgage
LLC
2
.330
03/20/35
596,770‌
Series
-
2017
A
(Class
A)
572,182
g
VSE
VOI
Mortgage
LLC
4
.020
02/20/36
546,815‌
Series
-
2018
A
(Class
C)
3,400,000
Wells
Fargo
Commercial
Mortgage
Trust
3
.808
12/15/47
3,194,442‌
Series
-
2014
LC18
(Class
AS)
2,272,000
Wells
Fargo
Commercial
Mortgage
Trust
3
.540
05/15/48
2,159,933‌
Series
-
2015
C28
(Class
A4)
2,100,000
i
Wells
Fargo
Commercial
Mortgage
Trust
3
.658
05/15/48
1,939,071‌
Series
-
2015
NXS1
(Class
B)
195
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,000,000
i
Wells
Fargo
Commercial
Mortgage
Trust
4
.286
%
05/15/48
$
1,650,911‌
Series
-
2015
NXS1
(Class
D)
350,000
Wells
Fargo
Commercial
Mortgage
Trust
3
.637
06/15/48
332,165‌
Series
-
2015
C29
(Class
A4)
2,959,406
Wells
Fargo
Commercial
Mortgage
Trust
2
.825
10/15/49
2,820,532‌
Series
-
2016
LC24
(Class
ASB)
387,000
Wells
Fargo
Commercial
Mortgage
Trust
3
.635
03/15/50
354,783‌
Series
-
2017
RB1
(Class
A5)
2,000,000
Wells
Fargo
Commercial
Mortgage
Trust
3
.757
03/15/50
1,794,274‌
Series
-
2017
RB1
(Class
AS)
1,720,000
Wells
Fargo
Commercial
Mortgage
Trust
3
.467
04/15/50
1,606,216‌
Series
-
2015
LC20
(Class
AS)
2,000,000
i
Wells
Fargo
Commercial
Mortgage
Trust
4
.012
03/15/51
1,860,392‌
Series
-
2018
C43
(Class
A4)
1,200,000
g
Wells
Fargo
Commercial
Mortgage
Trust
3
.153
09/15/57
991,237‌
Series
-
2015
NXS3
(Class
D)
2,500,000
i
Wells
Fargo
Commercial
Mortgage
Trust
3
.972
09/15/57
2,338,111‌
Series
-
2015
NXS3
(Class
AS)
3,350,000
Wells
Fargo
Commercial
Mortgage
Trust
3
.952
01/15/59
3,111,888‌
Series
-
2016
C32
(Class
AS)
2,500,000
i
Wells
Fargo
Commercial
Mortgage
Trust
4
.887
01/15/59
2,285,781‌
Series
-
2016
C32
(Class
B)
613,172
Wells
Fargo
Commercial
Mortgage
Trust
2
.933
11/15/59
584,974‌
Series
-
2016
C36
(Class
ASB)
100,028
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
4
.000
04/25/49
93,603‌
Series
-
2019
2
(Class
A17)
1,219,123
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.500
09/25/49
1,069,337‌
Series
-
2019
4
(Class
A1)
770,931
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.000
07/25/50
643,826‌
Series
-
2020
4
(Class
A17)
11,494,761
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
2
.500
06/25/51
8,910,099‌
Series
-
2021
2
(Class
A17)
5,156,645
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.000
08/25/51
4,174,115‌
Series
-
2021
INV1
(Class
A17)
4,640,336
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.316
08/25/51
3,797,987‌
Series
-
2021
INV1
(Class
B1)
3,079,648
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
2
.500
12/25/51
2,387,172‌
Series
-
2022
2
(Class
A18)
3,533,838
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.000
03/25/52
2,860,513‌
Series
-
2022
INV1
(Class
A18)
6,111,462
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.500
03/25/52
5,137,244‌
Series
-
2022
INV1
(Class
A17)
3,177,017
i
WFRBS
Commercial
Mortgage
Trust
4
.079
03/15/46
3,163,394‌
Series
-
2013
UBS1
(Class
A4)
3,500,000
i
WFRBS
Commercial
Mortgage
Trust
4
.162
12/15/46
3,448,929‌
Series
-
2013
C18
(Class
A5)
1,664,000
i
WFRBS
Commercial
Mortgage
Trust
4
.996
12/15/46
1,566,194‌
Series
-
2013
C18
(Class
C)
2,225,281
WFRBS
Commercial
Mortgage
Trust
3
.995
05/15/47
2,167,161‌
Series
-
2014
C20
(Class
A5)
189,733
g,i
WinWater
Mortgage
Loan
Trust
3
.919
06/20/44
157,509‌
Series
-
2014
1
(Class
B4)
5,220,926
g,i
Woodward
Capital
Management
3
.000
05/25/52
4,226,148‌
Series
-
2022
3
(Class
A21)
TOTAL
OTHER
MORTGAGE
BACKED
1,220,689,728‌
TOTAL
STRUCTURED
ASSETS
1,751,772,143‌
(Cost
$1,956,009,998)
SHARES
REFERENCERATE
&
SPREAD
Core
Bond
Fund
June
30,
2023
196
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
SHARES
DESCRIPTION
REFERENCERATE
&
SPREAD
VALUE
COMMON
STOCKS
-
0.0%
MATERIALS
-
0
.0
%
363,958
*
Petra
Diamonds
Ltd
$
310,909‌
TOTAL
MATERIALS
310,909‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.0
%
10,391
*,†
Bright
Bidco
BV
4,244‌
7,607
*
Bright
Bidco
BV
6,321‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
10,565‌
TELECOMMUNICATION
SERVICES
-
0
.0
%
4,815
*
Avaya,
Inc
60,187‌
1,010
*,†
Avaya,
Inc
9,988‌
TOTAL
TELECOMMUNICATION
SERVICES
70,175‌
TOTAL
COMMON
STOCKS
391,649‌
(Cost
$949,850)
PREFERRED
STOCKS
-
0.1%
FINANCIAL
SERVICES
-
0
.1
%
200,000
Morgan
Stanley
4,908,000‌
208,700
e
Morgan
Stanley
5,417,852‌
TOTAL
FINANCIAL
SERVICES
10,325,852‌
TOTAL
PREFERRED
STOCKS
10,325,852‌
(Cost
$10,877,500)
TOTAL
LONG-TERM
INVESTMENTS
9,365,665,121‌
(Cost
$10,304,571,488)
PRINCIPAL
RATE
MATURITY
DATE
SHORT-TERM
INVESTMENTS
-
1.6%
GOVERNMENT
AGENCY
DEBT
-
0
.3
%
$
5,000,000
Federal
Home
Loan
Bank
(FHLB)
0
.000
%
08/30/23
4,960,851‌
10,000,000
FHLB
0
.000
09/15/23
9,899,048‌
6,250,000
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
0
.000
07/17/23
6,238,268‌
10,000,000
Tennessee
Valley
Authority
(TVA)
0
.000
07/05/23
9,997,316‌
TOTAL
GOVERNMENT
AGENCY
DEBT
31,095,483‌
REPURCHASE
AGREEMENT
-
0
.8
%
73,230,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
07/03/23
73,230,000‌
TOTAL
REPURCHASE
AGREEMENT
73,230,000‌
TREASURY
DEBT
-
0
.5
%
1,700,000
United
States
Treasury
Bill
0
.000
09/07/23
1,683,996‌
50,000,000
United
States
Treasury
Bill
0
.000
11/02/23
49,118,360‌
TOTAL
TREASURY
DEBT
50,802,356‌
TOTAL
SHORT-TERM
INVESTMENTS
155,127,839‌
(Cost
$155,221,385)
SHARES
EXP
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.9%
81,121,762
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5
.110
81,121,762‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
81,121,762‌
(Cost
$81,121,762)
197
See
Notes
to
Portfolios
of
Investments
Principal
denominated
in
U.S.
Dollars,
unless
otherwise
noted. 
SHARES
DESCRIPTION
RATE
EXP
VALUE
TOTAL
INVESTMENTS
-
100.3%
$
9,601,914,722‌
(Cost
$10,540,914,635)
OTHER
ASSETS
&
LIABILITIES,
NET
-
(0.3)%
(
31,902,590‌
)
NET
ASSETS
-
100.0%
$
9,570,012,132‌
AVG
Average
CME
Chicago
Mercantile
Exchange
CNY
Chinese
Yuan
D
Day
DOP
Dominican
Republic
Peso
EUR
Euro
IDR
Indonesian
Rupiah
INR
Indian
Rupee
LIBOR
London
Interbank
Offered
Rate
M
Month
MXN
Mexican
Peso
MYR
Malaysian
Ringgit
REIT
Real
Estate
Investment
Trust
REMIC
Real
Estate
Mortgage
Investment
Conduit
RSD
Serbian
Dinar
SOFR
Secure
Overnight
Financing
Rate
THB
Thai
Baht
UGX
Ugandan
Shilling
UZS
Uzbekistani
Som
ZAR
South
African
Rand
*
Non-income
producing
For
fair
value
measurement
disclosure
purposes,
investment
classified
as
Level
3.
Perpetual
security
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$78,551,204.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
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
All
or
a
portion
of
these
securities
have
been
segregated
to
cover
collateral
requirements
on
mortgage
dollar
rolls.
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
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$73,230,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
1.500%
and
maturity
date
11/30/28,
valued
at
$74,694,675.
Forward
Foreign
Currency
Contracts
Currency
Purchased
Receive
Currency
Sold
Deliver
Counterparty
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
3,528,241
EUR
3,202,555
Citibank
N.A.
07/14/23
 $
31,088‌
EUR
Euro
Core
Bond
Fund
June
30,
2023
198
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Credit
Default
Swaps
-
Centrally
Cleared
PURCHASED
Reference
Entity
Terms
of
Payments
to
be
Paid
Terms
of
Payments
to
be
Received
Counterparty
Fixed
Rate
Payment
Frequency
Maturity
Date
Notional
Amount
*
Value
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
CDX-NAHYS40V1-5Y
5.000%
Credit
event
as
specified
in
contract
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
$
49,000,000‌
$
1,443,448‌
$
1,062,098‌
$
381,349‌
*  
The
maximum
potential
amount
the
Fund
could
be
required
to
pay
as
a
seller
of
credit
protection
or
receive
as
a
buyer
of
credit
protection
if
a
credit
event
occurs
is
defined
under
the
terms
of
that
particular
swap
agreement.
This
amount
may
be
reduced
by
any
recoverable
assets,
if
applicable.
SOLD
Reference
Entity
Terms
of
Payments
to
be
Paid
Terms
of
Payments
to
be
Received
Counterparty
Fixed
Rate
Payment
Frequency
Maturity
Date
Notional
Amount
*
Value
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000%
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
$
40,000,000‌
$
(
1,178,325‌
)
$
(
183,415‌
)
$
(
994,910‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
37,000,000‌
(
1,089,950‌
)
(
262,109‌
)
(
827,841‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
15,000,000‌
(
441,872‌
)
(
161,571‌
)
(
280,301‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
60,000,000‌
(
1,767,487‌
)
(
646,519‌
)
(
1,120,968‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
43,000,000‌
(
1,266,699‌
)
(
605,749‌
)
(
660,950‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
46,000,000‌
(
1,355,073‌
)
(
755,402‌
)
(
599,671‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
22,000,000‌
(
648,079‌
)
(
195,302‌
)
(
452,776‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
40,000,000‌
(
1,178,325‌
)
(
912,463‌
)
(
265,862‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
17,000,000‌
(
500,788‌
)
(
430,387‌
)
(
70,401‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
15,000,000‌
(
441,872‌
)
(
211,317‌
)
(
230,555‌
)
Total
$
(
9,868,469‌
)
$
(
4,364,234‌
)
$
(
5,504,235‌
)
*  
The
maximum
potential
amount
the
Fund
could
be
required
to
pay
as
a
seller
of
credit
protection
or
receive
as
a
buyer
of
credit
protection
if
a
credit
event
occurs
is
defined
under
the
terms
of
that
particular
swap
agreement.
This
amount
may
be
reduced
by
any
recoverable
assets,
if
applicable.
Portfolio
of
Investments
Core
Impact
Bond
Fund
June
30,
2023
199
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
98.5%
BANK
LOAN
OBLIGATIONS
-
0.7%
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.2
%
$
15,720,000
i
LTR
Intermediate
Holdings,
Inc
LIBOR
4
M
+
4.500%
9
.654
%
05/05/28
$
14,043,226‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
14,043,226‌
CONSUMER
DURABLES
&
APPAREL
-
0
.0
%
300,000
KDC
Agribusiness
Fairless
Hills
LLC
0
.000
09/17/23
300,000‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
300,000‌
UTILITIES
-
0
.5
%
6,698,588
i
Exgen
Renewables
IV
LLC
SOFR
4
M
+
2.500%
8
.025
12/15/27
6,667,205‌
2,493,719
i
TerraForm
Power
Operating
LLC
SOFR
4
M
+
2.500%
7
.842
05/21/29
2,471,899‌
18,816,700
h,i
TerraForm
Power
Operating
LLC
SOFR
3
M
+
2.750%
7
.430
05/30/29
18,652,054‌
TOTAL
UTILITIES
27,791,158‌
TOTAL
BANK
LOAN
OBLIGATIONS
42,134,384‌
(Cost
$43,667,152)
CORPORATE
BONDS
-
29
.3
%
AUTOMOBILES
&
COMPONENTS
-
0
.6
%
6,650,000
Ford
Motor
Co
3
.250
02/12/32
5,231,451‌
11,866,000
Magna
International,
Inc
3
.625
06/15/24
11,629,119‌
11,025,000
Magna
International,
Inc
2
.450
06/15/30
9,334,603‌
2,260,000
g
ZF
North
America
Capital,
Inc
6
.875
04/14/28
2,288,666‌
4,980,000
g
ZF
North
America
Capital,
Inc
7
.125
04/14/30
5,064,929‌
TOTAL
AUTOMOBILES
&
COMPONENTS
33,548,768‌
BANKS
-
3
.7
%
13,950,000
g
ABN
AMRO
Bank
NV
2
.470
12/13/29
11,677,059‌
5,000,000
Bank
of
America
Corp
2
.687
04/22/32
4,143,732‌
10,000,000
Bank
of
Montreal
3
.803
12/15/32
8,814,955‌
3,250,000
g
BNP
Paribas
S.A.
1
.904
09/30/28
2,768,036‌
6,250,000
Citigroup,
Inc
0
.776
10/30/24
6,139,635‌
3,125,000
i
Citigroup,
Inc
SOFR
+
0.694%
5
.330
01/25/26
3,111,791‌
4,250,000
HSBC
Holdings
plc
5
.210
08/11/28
4,155,501‌
9,925,000
HSBC
Holdings
plc
6
.161
03/09/29
10,009,463‌
13,750,000
HSBC
Holdings
plc
2
.206
08/17/29
11,502,797‌
6,575,000
HSBC
Holdings
plc
5
.402
08/11/33
6,428,148‌
10,000,000
g
ING
Groep
NV
1
.400
07/01/26
9,104,669‌
8,300,000
ING
Groep
NV
4
.017
03/28/28
7,787,083‌
8,808,000
ING
Groep
NV
2
.727
04/01/32
7,266,053‌
6,250,000
g
Intesa
Sanpaolo
S.p.A
3
.250
09/23/24
5,995,261‌
7,200,000
g
Intesa
Sanpaolo
S.p.A
4
.000
09/23/29
6,253,368‌
3,650,000
g
Intesa
Sanpaolo
S.p.A
6
.625
06/20/33
3,636,607‌
6,000,000
g
Intesa
Sanpaolo
S.p.A
4
.950
06/01/42
3,951,471‌
12,500,000
g
Intesa
Sanpaolo
S.p.A
7
.778
06/20/54
12,453,073‌
5,000,000
JPMorgan
Chase
&
Co
1
.040
02/04/27
4,452,741‌
10,990,000
JPMorgan
Chase
&
Co
3
.650
N/A‡
9,672,849‌
2,750,000
Lloyds
Banking
Group
plc
4
.500
11/04/24
2,669,684‌
10,100,000
Lloyds
Banking
Group
plc
5
.871
03/06/29
10,014,676‌
9,000,000
Mizuho
Financial
Group,
Inc
5
.778
07/06/29
9,022,207‌
2,450,000
Morgan
Stanley
Bank
NA
4
.754
04/21/26
2,413,917‌
9,500,000
g
National
Australia
Bank
Ltd
2
.332
08/21/30
7,403,702‌
Core
Impact
Bond
Fund
June
30,
2023
200
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
12,150,000
National
Bank
of
Canada
0
.550
%
11/15/24
$
11,896,016‌
5,616,000
Santander
Holdings
USA,
Inc
5
.807
09/09/26
5,515,711‌
7,000,000
g
Shinhan
Financial
Group
Co
Ltd
3
.340
02/05/30
6,687,737‌
15,000,000
g
UniCredit
S.p.A
2
.569
09/22/26
13,539,361‌
3,600,000
g
UniCredit
S.p.A
5
.459
06/30/35
3,055,138‌
11,570,000
g
United
Overseas
Bank
Ltd
2
.000
10/14/31
10,158,399‌
TOTAL
BANKS
221,700,840‌
CAPITAL
GOODS
-
0
.3
%
10,000,000
Otis
Worldwide
Corp
3
.112
02/15/40
7,721,892‌
6,275,000
g,i
Siemens
Financieringsmaatschappij
NV
SOFR
+
0.430%
5
.520
03/11/24
6,282,299‌
7,500,000
g
Triton
Container
International
Ltd
1
.150
06/07/24
7,112,366‌
TOTAL
CAPITAL
GOODS
21,116,557‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.7
%
9,500,000
Automatic
Data
Processing,
Inc
1
.700
05/15/28
8,338,571‌
12,875,000
Automatic
Data
Processing,
Inc
1
.250
09/01/30
10,438,275‌
9,500,000
Mather
Foundation
2
.675
10/01/31
7,886,187‌
4,600,000
Republic
Services,
Inc
5
.000
04/01/34
4,589,667‌
15,760,000
Rockefeller
Foundation
2
.492
10/01/50
10,238,876‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
41,491,576‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.5
%
2,800,000
Advance
Auto
Parts,
Inc
1
.750
10/01/27
2,329,897‌
11,000,000
Lowe's
Cos,
Inc
4
.800
04/01/26
10,891,626‌
5,575,000
Lowe's
Cos,
Inc
5
.150
07/01/33
5,572,981‌
5,525,000
Lowe's
Cos,
Inc
2
.800
09/15/41
3,907,543‌
5,300,000
Lowe's
Cos,
Inc
5
.750
07/01/53
5,400,468‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
28,102,515‌
CONSUMER
DURABLES
&
APPAREL
-
0
.1
%
5,270,000
Whirlpool
Corp
2
.400
05/15/31
4,274,832‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
4,274,832‌
CONSUMER
SERVICES
-
1
.4
%
3,419,800
BB
Blue
Financing
DAC
4
.395
09/20/29
3,358,306‌
2,800,000
Bush
Foundation
2
.754
10/01/50
1,875,021‌
10,750,000
Conservation
Fund
3
.474
12/15/29
9,303,951‌
4,040,000
Henry
J
Kaiser
Family
Foundation
3
.356
12/01/25
3,777,968‌
7,125,000
h
Hyatt
Hotels
Corp
5
.750
01/30/27
7,106,713‌
11,525,000
Massachusetts
Higher
Education
Assistance
Corp
2
.673
07/01/31
9,084,327‌
7,850,000
i
Nature
Conservancy
LIBOR
3
M
+
1.080%
6
.379
02/01/24
7,867,063‌
8,231,000
Nature
Conservancy
3
.957
03/01/52
6,992,771‌
4,100,000
New
York
Public
Library
Astor
Lenox
&
Tilden
Foundations
4
.305
07/01/45
3,508,612‌
9,775,000
Preservation
Of
Affordable
Housing,
Inc
4
.479
12/01/32
9,314,295‌
60,000
Salvation
Army
5
.637
09/01/26
59,588‌
5,000,000
Salvation
Army
4
.528
09/01/48
4,478,226‌
6,350,000
Starbucks
Corp
2
.450
06/15/26
5,916,508‌
11,440,000
Wisconsin
Alumni
Research
Foundation
3
.564
10/01/49
8,133,800‌
5,000,000
YMCA
of
Greater
New
York
5
.021
08/01/38
4,452,537‌
1,500,000
YMCA
of
Greater
New
York
5
.151
08/01/48
1,301,345‌
TOTAL
CONSUMER
SERVICES
86,531,031‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0
.4
%
10,750,000
SYSCO
Corp
2
.400
02/15/30
9,155,991‌
18,025,000
Walmart,
Inc
1
.800
09/22/31
14,965,951‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
24,121,942‌
ENERGY
-
2
.0
%
10,000,000
g
Aker
BP
ASA
4
.000
01/15/31
8,893,075‌
9,275,000
g
Aker
BP
ASA
6
.000
06/13/33
9,278,290‌
201
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
4,360,000
BP
Capital
Markets
America,
Inc
4
.812
%
02/13/33
$
4,296,634‌
6,050,000
BP
Capital
Markets
America,
Inc
4
.893
09/11/33
5,987,529‌
9,875,000
BP
Capital
Markets
America,
Inc
2
.772
11/10/50
6,531,632‌
2,650,000
Cenovus
Energy,
Inc
2
.650
01/15/32
2,139,121‌
8,088,000
Cheniere
Energy
Partners
LP
4
.000
03/01/31
7,121,399‌
4,850,000
g
Cheniere
Energy
Partners
LP
5
.950
06/30/33
4,864,113‌
8,875,000
ConocoPhillips
Co
5
.300
05/15/53
9,027,297‌
3,528,000
EQT
Corp
6
.125
02/01/25
3,508,173‌
2,000,000
Equinor
ASA
3
.700
03/01/24
1,974,454‌
7,725,000
Equinor
ASA
2
.375
05/22/30
6,705,485‌
3,000,000
Equinor
ASA
3
.950
05/15/43
2,571,012‌
9,110,000
Equinor
ASA
3
.250
11/18/49
6,838,183‌
1,925,000
ONEOK,
Inc
4
.000
07/13/27
1,801,648‌
3,350,000
ONEOK,
Inc
4
.950
07/13/47
2,760,573‌
6,100,000
ONEOK,
Inc
4
.450
09/01/49
4,623,151‌
6,825,000
Pioneer
Natural
Resources
Co
5
.100
03/29/26
6,784,055‌
6,600,000
g
Santos
Finance
Ltd
3
.649
04/29/31
5,479,243‌
2,120,000
e,g
Sunnova
Energy
Corp
5
.875
09/01/26
1,937,676‌
12,850,000
Total
Capital
International
S.A.
2
.986
06/29/41
9,782,348‌
11,550,000
Total
Capital
International
S.A.
3
.127
05/29/50
8,387,732‌
TOTAL
ENERGY
121,292,823‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
0
.4
%
8,800,000
Federal
Realty
Investment
Trust
1
.250
02/15/26
7,856,709‌
3,500,000
g
HAT
Holdings
I
LLC
3
.375
06/15/26
3,136,852‌
3,900,000
Host
Hotels
&
Resorts
LP
2
.900
12/15/31
3,066,023‌
9,157,000
Regency
Centers
LP
3
.750
06/15/24
8,890,622‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
22,950,206‌
FINANCIAL
SERVICES
-
3
.7
%
9,400,000
i
AerCap
Ireland
Capital
DAC
SOFR
+
0.680%
5
.772
09/29/23
9,386,953‌
10,000,000
g
BPCE
S.A.
2
.045
10/19/27
8,719,431‌
5,107,000
g
BPCE
S.A.
3
.116
10/19/32
3,941,719‌
11,645,000
Community
Preservation
Corp
2
.867
02/01/30
9,760,157‌
5,820,000
Enterprise
Community
Loan
Fund,
Inc
4
.152
11/01/28
5,251,723‌
5,000,000
g
Federation
des
Caisses
Desjardins
du
Quebec
0
.450
10/07/23
4,929,308‌
5,625,000
g
Federation
des
Caisses
Desjardins
du
Quebec
5
.700
03/14/28
5,618,370‌
10,000,000
Ford
Foundation
2
.815
06/01/70
6,183,343‌
10,000,000
Goldman
Sachs
Group,
Inc
0
.855
02/12/26
9,214,504‌
4,500,000
Low
Income
Investment
Fund
3
.386
07/01/26
4,227,937‌
10,000,000
Low
Income
Investment
Fund
3
.711
07/01/29
8,970,194‌
7,725,000
Mastercard,
Inc
1
.900
03/15/31
6,420,633‌
14,500,000
Morgan
Stanley
0
.791
01/22/25
14,051,475‌
11,950,000
Morgan
Stanley
0
.985
12/10/26
10,654,697‌
2,211,000
National
Rural
Utilities
Cooperative
Finance
Corp
3
.400
11/15/23
2,191,669‌
6,500,000
National
Rural
Utilities
Cooperative
Finance
Corp
4
.150
12/15/32
6,024,721‌
11,600,000
g,i
NatWest
Markets
plc
SOFR
+
0.530%
5
.619
08/12/24
11,529,431‌
6,775,000
g
NongHyup
Bank
4
.875
07/03/28
6,685,754‌
1,869,000
Reinvestment
Fund,
Inc
3
.166
11/01/23
1,850,443‌
3,000,000
Reinvestment
Fund,
Inc
3
.600
02/15/24
2,958,124‌
2,500,000
Reinvestment
Fund,
Inc
3
.366
11/01/24
2,419,868‌
5,000,000
Reinvestment
Fund,
Inc
3
.513
11/01/25
4,692,092‌
5,000,000
Reinvestment
Fund,
Inc
3
.880
02/15/27
4,678,460‌
2,945,000
g
Starwood
Property
Trust,
Inc
4
.375
01/15/27
2,536,381‌
22,500,000
State
Street
Corp
5
.159
05/18/34
22,365,362‌
8,650,000
Toyota
Motor
Credit
Corp
2
.150
02/13/30
7,400,011‌
9,000,000
g
UBS
Group
AG.
1
.494
08/10/27
7,729,480‌
10,000,000
g
UBS
Group
AG.
2
.746
02/11/33
7,788,829‌
10,000,000
Visa,
Inc
1
.100
02/15/31
7,877,353‌
3,450,000
g
WLB
Asset
II
B
Pte
Ltd
3
.950
12/10/24
3,256,468‌
5,425,000
g
WLB
Asset
II
C
Pte
Ltd
3
.900
12/23/25
4,929,119‌
Core
Impact
Bond
Fund
June
30,
2023
202
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
10,000,000
g
WLB
Asset
II
D
Pte
Ltd
6
.500
%
12/21/26
$
9,473,041‌
1,925,000
g
WLB
Asset
II
Pte
Ltd
4
.000
01/14/24
1,888,075‌
TOTAL
FINANCIAL
SERVICES
225,605,125‌
FOOD,
BEVERAGE
&
TOBACCO
-
1
.0
%
3,400,000
General
Mills,
Inc
4
.950
03/29/33
3,369,629‌
10,125,000
g
Mars,
Inc
4
.650
04/20/31
10,053,892‌
7,000,000
g
NBM
US
Holdings,
Inc
6
.625
08/06/29
6,409,653‌
6,600,000
g
Nestle
Holdings,
Inc
4
.950
03/14/30
6,689,938‌
11,125,000
g
Nestle
Holdings,
Inc
4
.850
03/14/33
11,354,206‌
10,000,000
PepsiCo,
Inc
3
.900
07/18/32
9,613,950‌
20,310,000
PepsiCo,
Inc
2
.875
10/15/49
15,252,745‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
62,744,013‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
0
.6
%
9,825,000
CVS
Health
Corp
5
.300
06/01/33
9,809,741‌
14,000,000
CVS
Health
Corp
5
.050
03/25/48
12,904,398‌
2,250,000
Mary
Free
Bed
Rehabilitation
Hospital
3
.786
04/01/51
1,652,537‌
7,075,000
McKesson
Corp
5
.250
02/15/26
7,048,355‌
10,385,000
Stanford
Health
Care
3
.027
08/15/51
7,215,539‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
38,630,570‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.6
%
5,300,000
Procter
&
Gamble
Co
3
.000
03/25/30
4,903,923‌
12,125,000
Procter
&
Gamble
Co
1
.200
10/29/30
9,776,098‌
3,000,000
Unilever
Capital
Corp
0
.626
08/12/24
2,841,104‌
5,528,000
Unilever
Capital
Corp
2
.125
09/06/29
4,769,363‌
6,125,000
Unilever
Capital
Corp
1
.375
09/14/30
4,907,860‌
9,425,000
Unilever
Capital
Corp
2
.625
08/12/51
6,442,338‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
33,640,686‌
INSURANCE
-
0
.6
%
4,975,000
g
Five
Corners
Funding
Trust
4
.419
11/15/23
4,920,341‌
12,075,000
g
Five
Corners
Funding
Trust
II
2
.850
05/15/30
10,257,096‌
5,200,000
g
Muenchener
Rueckversicherungs-Gesellschaft
AG.
in
Muenchen
5
.875
05/23/42
5,201,248‌
5,000,000
Progressive
Corp
3
.700
01/26/45
3,913,648‌
11,135,000
g
USAA
Capital
Corp
2
.125
05/01/30
9,261,582‌
TOTAL
INSURANCE
33,553,915‌
MATERIALS
-
1
.1
%
10,500,000
Air
Products
&
Chemicals,
Inc
4
.800
03/03/33
10,594,411‌
7,250,000
g
Cemex
SAB
de
C.V.
9
.125
N/A‡
7,342,416‌
10,750,000
g
FMG
Resources
August
2006
Pty
Ltd
6
.125
04/15/32
10,244,701‌
1,434,000
International
Paper
Co
4
.800
06/15/44
1,264,568‌
2,350,000
g
Inversiones
CMPC
S.A.
6
.125
06/23/33
2,365,149‌
2,740,000
g
LG
Chem
Ltd
3
.625
04/15/29
2,555,770‌
5,000,000
Newmont
Corp
2
.250
10/01/30
4,096,460‌
4,015,000
g
Owens-Brockway
Glass
Container,
Inc
7
.250
05/15/31
4,065,187‌
9,875,000
PPG
Industries,
Inc
1
.200
03/15/26
8,845,548‌
3,500,000
Sonoco
Products
Co
1
.800
02/01/25
3,267,178‌
5,525,000
Sonoco
Products
Co
2
.250
02/01/27
4,936,462‌
10,000,000
Teck
Resources
Ltd
3
.900
07/15/30
9,096,687‌
TOTAL
MATERIALS
68,674,537‌
MEDIA
&
ENTERTAINMENT
-
0
.3
%
2,308,800
g
Air
Canada
2017-, Cl A
Pass
Through
Trust
3
.550
01/15/30
1,973,418‌
10,000,000
Alphabet,
Inc
1
.100
08/15/30
8,089,694‌
11,250,000
e
Comcast
Corp
4
.650
02/15/33
11,168,044‌
TOTAL
MEDIA
&
ENTERTAINMENT
21,231,156‌
203
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
2
.2
%
$
13,450,000
Amgen,
Inc
5
.250
%
03/02/33
$
13,467,156‌
4,800,000
Amgen,
Inc
5
.600
03/02/43
4,814,525‌
10,800,000
Amgen,
Inc
5
.650
03/02/53
10,937,215‌
4,800,000
Bristol-Myers
Squibb
Co
2
.350
11/13/40
3,372,815‌
10,000,000
Bristol-Myers
Squibb
Co
3
.550
03/15/42
8,291,244‌
12,550,000
Merck
&
Co,
Inc
2
.150
12/10/31
10,398,182‌
8,800,000
Merck
&
Co,
Inc
2
.750
12/10/51
6,069,662‌
7,000,000
PerkinElmer,
Inc
2
.250
09/15/31
5,616,555‌
6,650,000
Pfizer
Investment
Enterprises
Pte
Ltd
4
.650
05/19/25
6,590,749‌
8,375,000
Pfizer
Investment
Enterprises
Pte
Ltd
4
.750
05/19/33
8,343,445‌
11,475,000
Pfizer
Investment
Enterprises
Pte
Ltd
5
.110
05/19/43
11,501,030‌
15,000,000
Pfizer
Investment
Enterprises
Pte
Ltd
5
.300
05/19/53
15,595,219‌
10,000,000
Pfizer
Investment
Enterprises
Pte
Ltd
5
.340
05/19/63
10,119,482‌
5,400,000
Pfizer,
Inc
1
.750
08/18/31
4,395,266‌
10,000,000
Takeda
Pharmaceutical
Co
Ltd
2
.050
03/31/30
8,310,507‌
8,500,000
Takeda
Pharmaceutical
Co
Ltd
3
.175
07/09/50
5,986,917‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
133,809,969‌
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
0
.1
%
8,000,000
National
Community
Renaissance
of
California
3
.270
12/01/32
6,646,781‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
6,646,781‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.5
%
10,050,000
Intel
Corp
4
.150
08/05/32
9,549,643‌
8,158,000
NXP
BV
3
.400
05/01/30
7,217,937‌
2,850,000
g
SK
Hynix,
Inc
2
.375
01/19/31
2,198,522‌
13,350,000
Texas
Instruments,
Inc
5
.050
05/18/63
13,376,463‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
32,342,565‌
SOFTWARE
&
SERVICES
-
0
.0
%
3,250,000
Autodesk,
Inc
2
.400
12/15/31
2,659,431‌
TOTAL
SOFTWARE
&
SERVICES
2,659,431‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
0
.1
%
5,750,000
Apple,
Inc
3
.000
06/20/27
5,444,792‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
5,444,792‌
TELECOMMUNICATION
SERVICES
-
0
.3
%
9,000,000
i
Verizon
Communications,
Inc
SOFR
Compounded
Index
+
0.790%
5
.882
03/20/26
9,010,780‌
14,225,000
Verizon
Communications,
Inc
2
.550
03/21/31
11,876,922‌
TOTAL
TELECOMMUNICATION
SERVICES
20,887,702‌
TRANSPORTATION
-
0
.1
%
6,000,000
e
Norfolk
Southern
Corp
2
.300
05/15/31
4,984,259‌
TOTAL
TRANSPORTATION
4,984,259‌
UTILITIES
-
8
.0
%
7,500,000
AES
Corp
5
.450
06/01/28
7,364,527‌
4,000,000
Algonquin
Power
&
Utilities
Corp
4
.750
01/18/82
3,180,000‌
12,350,000
Ameren
Illinois
Co
2
.900
06/15/51
8,307,554‌
4,500,000
Atlantic
City
Electric
Co
2
.300
03/15/31
3,715,219‌
5,420,000
e,g
Atlantica
Sustainable
Infrastructure
plc
4
.125
06/15/28
4,828,729‌
3,345,000
Avangrid,
Inc
3
.150
12/01/24
3,208,278‌
7,500,000
Avangrid,
Inc
3
.800
06/01/29
6,834,812‌
2,025,000
Avista
Corp
4
.350
06/01/48
1,748,025‌
5,025,000
g
Azure
Power
Solar
Energy
Pvt
Ltd
5
.650
12/24/24
4,221,000‌
7,050,000
g
Brooklyn
Union
Gas
Co
4
.632
08/05/27
6,758,493‌
10,000,000
g
Brooklyn
Union
Gas
Co
4
.866
08/05/32
9,365,244‌
9,850,000
CenterPoint
Energy
Houston
Electric
LLC
2
.350
04/01/31
8,260,390‌
2,986,000
CenterPoint
Energy
Houston
Electric
LLC
3
.350
04/01/51
2,227,663‌
3,050,000
CMS
Energy
Corp
4
.750
06/01/50
2,622,176‌
Core
Impact
Bond
Fund
June
30,
2023
204
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
8,850,000
g
Colbun
S.A.
3
.150
%
01/19/32
$
7,478,250‌
14,500,000
Commonwealth
Edison
Co
2
.750
09/01/51
9,369,753‌
6,475,000
g
Consorcio
Transmantaro
SA
4
.700
04/16/34
5,995,994‌
5,438,000
Consumers
Energy
Co
2
.500
05/01/60
3,121,502‌
5,213,196
g
Continental
Wind
LLC
6
.000
02/28/33
5,265,233‌
7,115,000
Dominion
Energy,
Inc
3
.600
03/15/27
6,705,826‌
8,325,000
Dominion
Energy,
Inc
4
.350
N/A‡
6,994,012‌
4,850,000
Dominion
Energy,
Inc
(Step
Bond)
3
.071
08/15/24
4,684,139‌
16,725,000
DTE
Electric
Co
1
.900
04/01/28
14,632,394‌
9,025,000
DTE
Electric
Co
3
.250
04/01/51
6,527,777‌
12,000,000
DTE
Energy
Co
2
.850
10/01/26
11,036,716‌
3,688,000
Duke
Energy
Carolinas
LLC
2
.850
03/15/32
3,134,548‌
10,000,000
Duke
Energy
Florida
LLC
2
.500
12/01/29
8,633,486‌
8,875,000
Duke
Energy
Florida
LLC
3
.000
12/15/51
6,079,885‌
1,000,000
Duke
Energy
Progress
LLC
3
.450
03/15/29
916,844‌
7,059,000
g
Electricite
de
France
S.A.
3
.625
10/13/25
6,780,327‌
4,250,000
Evergy,
Inc
2
.550
07/01/26
3,935,634‌
6,375,000
Florida
Power
&
Light
Co
4
.625
05/15/30
6,273,898‌
4,275,000
Florida
Power
&
Light
Co
4
.800
05/15/33
4,244,201‌
8,882,000
Georgia
Power
Co
3
.250
04/01/26
8,420,925‌
250,000
Georgia
Power
Co
3
.250
03/15/51
176,161‌
8,700,000
Georgia
Power
Co
5
.125
05/15/52
8,447,939‌
7,827,525
g
India
Cleantech
Energy
4
.700
08/10/26
6,832,647‌
9,700,000
Interstate
Power
&
Light
Co
3
.500
09/30/49
7,054,328‌
7,925,000
g
Korea
Hydro
&
Nuclear
Power
Co
Ltd
3
.750
07/25/23
7,914,935‌
10,750,000
g
Liberty
Utilities
Finance
GP
2
.050
09/15/30
8,351,804‌
2,498,000
g
Massachusetts
Electric
Co
1
.729
11/24/30
1,909,704‌
6,875,000
MidAmerican
Energy
Co
3
.100
05/01/27
6,421,584‌
12,626,000
National
Fuel
Gas
Co
5
.500
01/15/26
12,446,276‌
5,600,000
National
Fuel
Gas
Co
5
.500
10/01/26
5,460,181‌
200,000
National
Fuel
Gas
Co
3
.950
09/15/27
183,775‌
3,400,000
National
Fuel
Gas
Co
4
.750
09/01/28
3,222,087‌
11,274,000
National
Fuel
Gas
Co
2
.950
03/01/31
9,018,927‌
11,250,000
g
New
York
State
Electric
&
Gas
Corp
2
.150
10/01/31
8,784,323‌
10,500,000
g
Niagara
Mohawk
Power
Corp
1
.960
06/27/30
8,389,862‌
5,250,000
Northwest
Natural
Gas
Co
3
.078
12/01/51
3,496,404‌
6,675,000
Pacific
Gas
and
Electric
Co
6
.700
04/01/53
6,553,083‌
10,750,000
PacifiCorp
2
.900
06/15/52
6,698,862‌
1,109,000
PacifiCorp
5
.350
12/01/53
1,013,080‌
7,025,000
PacifiCorp
5
.500
05/15/54
6,590,865‌
7,075,000
Piedmont
Natural
Gas
Co,
Inc
3
.350
06/01/50
4,845,955‌
3,625,000
Public
Service
Co
of
Colorado
3
.200
03/01/50
2,558,376‌
6,150,000
Public
Service
Electric
&
Gas
Co
3
.200
08/01/49
4,544,066‌
4,875,000
Public
Service
Electric
and
Gas
Co
4
.650
03/15/33
4,782,744‌
7,675,000
Public
Service
Electric
and
Gas
Co
5
.125
03/15/53
7,733,911‌
7,500,000
San
Diego
Gas
&
Electric
Co
4
.150
05/15/48
6,254,775‌
13,988,000
San
Diego
Gas
&
Electric
Co
2
.950
08/15/51
9,464,482‌
2,882,136
SCE
Recovery
Funding
LLC
1
.977
11/15/28
2,616,280‌
7,100,000
SCE
Recovery
Funding
LLC
2
.943
11/15/42
5,756,622‌
2,640,000
SCE
Recovery
Funding
LLC
3
.240
11/15/46
1,932,715‌
3,000,000
Sempra
Energy
4
.875
N/A‡
2,790,205‌
6,250,000
g
Sociedad
de
Transmision
Austral
S.A.
4
.000
01/27/32
5,348,250‌
2,217,715
g
Solar
Star
Funding
LLC
3
.950
06/30/35
1,961,379‌
4,471,034
g
Solar
Star
Funding
LLC
5
.375
06/30/35
4,401,970‌
750,000
Southern
California
Edison
Co
2
.750
02/01/32
627,241‌
5,000,000
Southern
California
Edison
Co
3
.450
02/01/52
3,576,016‌
9,538,000
Southern
Power
Co
4
.150
12/01/25
9,304,922‌
7,000,000
Southwestern
Electric
Power
Co
3
.250
11/01/51
4,694,719‌
2,875,000
Southwestern
Public
Service
Co
3
.750
06/15/49
2,203,232‌
18,529,000
Southwestern
Public
Service
Co
3
.150
05/01/50
12,894,953‌
4,702,640
g
Star
Energy
Geothermal
Wayang
Windu
Ltd
6
.750
04/24/33
4,604,024‌
205
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
16,550,860
g
Sweihan
PV
Power
Co
PJSC
3
.625
%
01/31/49
$
13,314,308‌
2,000,000
g
TerraForm
Power
Operating
LLC
5
.000
01/31/28
1,841,320‌
7,031,151
g
Topaz
Solar
Farms
LLC
4
.875
09/30/39
6,433,503‌
4,250,710
g
Topaz
Solar
Farms
LLC
5
.750
09/30/39
4,168,055‌
7,945,676
g
UEP
Penonome
II
S.A.
6
.500
10/01/38
5,956,340‌
15,000,000
Union
Electric
Co
2
.150
03/15/32
12,004,867‌
16,400,000
Union
Electric
Co
2
.625
03/15/51
10,497,144‌
3,625,000
g
Vistra
Corp
7
.000
N/A‡
3,162,812‌
TOTAL
UTILITIES
482,115,467‌
TOTAL
CORPORATE
BONDS
1,778,102,058‌
(Cost
$2,020,950,134)
GOVERNMENT
BONDS
-
52
.7
%
AGENCY
SECURITIES
-
4
.3
%
1,390,000
Canal
Barge
Co,
Inc
4
.500
11/12/34
1,346,551‌
12,704,236
Crowley
Conro
LLC
4
.181
08/15/43
12,297,695‌
334,188
Ethiopian
Leasing
LLC
2
.566
08/14/26
318,776‌
18,700,000
e
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
0
.250
08/24/23
18,569,127‌
13,600,000
FHLMC
0
.250
09/08/23
13,476,506‌
22,692,000
e
FHLMC
0
.250
12/04/23
22,201,926‌
25,000,000
FHLMC
1
.540
08/17/35
17,795,084‌
17,500,000
Federal
National
Mortgage
Association
(FNMA)
0
.250
07/10/23
17,484,169‌
8,600,000
FNMA
0
.625
04/22/25
7,953,414‌
16,800,000
FNMA
0
.875
08/05/30
13,504,488‌
9,000,000
FNMA
1
.625
08/24/35
6,431,484‌
10,000,000
g
GPS
Blue
Financing
DAC
5
.645
11/09/41
10,347,900‌
7,909,000
Hashemite
Kingdom
of
Jordan
Government
AID
Bond
3
.000
06/30/25
7,527,157‌
3,677,559
HNA
LLC
2
.369
09/18/27
3,444,219‌
1,190,000
i
Housing
and
Urban
Development
Corp
Ltd
LIBOR
6
M
+
0.035%
5
.086
09/15/30
1,181,785‌
138,887
i
Jupiter
Aircraft
Leasing
LLC
LIBOR
3
M
+
0.240%
5
.609
08/19/23
138,830‌
138,884
i
Jupiter
Aircraft
Leasing
LLC
LIBOR
3
M
+
0.240%
5
.760
09/22/23
138,777‌
4,496,817
Overseas
Private
Investment
Corp
(OPIC)
1
.790
10/15/29
4,015,548‌
11,242,042
OPIC
2
.360
10/15/29
10,234,506‌
782,400
OPIC
4
.140
05/15/30
760,055‌
8,569,121
OPIC
3
.430
06/01/33
7,932,983‌
5,241,720
OPIC
2
.040
06/15/35
4,389,182‌
9,342,650
OPIC
2
.290
07/15/38
7,795,873‌
5,138,458
OPIC
2
.450
07/15/38
4,337,749‌
2,900,000
Private
Export
Funding
Corp
(PEFCO)
3
.250
06/15/25
2,792,488‌
6,950,000
PEFCO
3
.900
10/15/27
6,808,596‌
14,406,094
Thirax  LLC
0
.968
01/14/33
12,128,942‌
3,633,092
Thirax
2
LLC
2
.320
01/22/34
3,222,428‌
3,850,000
Tote
Shipholdings
LLC
3
.400
10/16/40
3,568,741‌
2,549,000
Tote
Shipholdings
LLC
3
.450
01/22/41
2,352,272‌
1,775,000
United
States
International
Development
Finance
Corp
1
.440
04/15/28
1,549,101‌
1,000,000
United
States
International
Development
Finance
Corp
1
.650
04/15/28
880,297‌
1,386,519
United
States
International
Development
Finance
Corp
1
.050
10/15/29
1,206,804‌
4,017,340
United
States
International
Development
Finance
Corp
1
.670
07/15/38
3,200,692‌
2,500,000
US
Department
of
Housing
and
Urban
Development
(HUD)
2
.618
08/01/23
2,493,509‌
2,000,000
HUD
2
.800
08/01/23
1,995,040‌
352,000
HUD
2
.910
08/01/23
351,189‌
2,152,000
HUD
2
.960
08/01/24
2,101,089‌
3,726,000
HUD
2
.870
08/01/27
3,472,071‌
420,000
HUD
5
.380
08/01/27
420,362‌
4,675,000
HUD
2
.985
08/01/28
4,342,467‌
1,931,000
HUD
3
.185
08/01/29
1,788,705‌
1,750,000
HUD
3
.585
08/01/37
1,554,134‌
708,333
VCM
Lease
S.A.
2
.516
09/28/27
665,616‌
4,110,000
Vessel
Management
Services,
Inc
3
.432
08/15/36
3,830,210‌
7,695,000
Vessel
Management
Services,
Inc
3
.477
01/16/37
7,194,903‌
Core
Impact
Bond
Fund
June
30,
2023
206
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
AGENCY
SECURITIES—continued
$
1,844,838
i
Washington
Aircraft
2
Co
Ltd
LIBOR
3
M
+
0.430%
5
.972
%
06/26/24
$
1,845,386‌
TOTAL
AGENCY
SECURITIES
263,388,826‌
FOREIGN
GOVERNMENT
BONDS
-
8
.9
%
11,850,000
g
Arab
Petroleum
Investments
Corp
1
.483
10/06/26
10,637,433‌
1,000,000
e
Asian
Development
Bank
2
.125
03/19/25
951,277‌
9,670,000
Asian
Development
Bank
4
.625
06/13/25
9,602,635‌
9,732,000
Asian
Development
Bank
1
.750
08/14/26
8,947,520‌
12,694,000
Asian
Development
Bank
3
.125
09/26/28
12,002,075‌
12,500,000
e
Asian
Development
Bank
1
.500
03/04/31
10,385,608‌
14,500,000
Asian
Development
Bank
3
.875
06/14/33
14,330,265‌
EUR
7,925,000
g
Banque
Ouest
Africaine
de
Developpement
2
.750
01/22/33
6,291,247‌
10,000,000
BB
Blue
Financing
DAC
4
.395
09/20/37
9,981,211‌
7,500,000
g
BNG
Bank
NV
2
.625
02/27/24
7,352,718‌
17,250,000
g
BNG
Bank
NV
3
.500
05/19/28
16,589,855‌
CLP
8,475,000,000
g
Bonos
de
la
Tesoreria
de
la
Republica
en
pesos
2
.300
10/01/28
9,179,475‌
8,500,000
g
Caisse
d'Amortissement
de
la
Dette
Sociale
0
.375
09/23/25
7,697,814‌
4,750,000
g
Caisse
d'Amortissement
de
la
Dette
Sociale
1
.375
01/20/31
3,860,875‌
5,000,000
g
Caisse
d'Amortissement
de
la
Dette
Sociale
2
.125
01/26/32
4,273,844‌
19,600,000
Canada
Government
International
Bond
2
.875
04/28/25
18,872,111‌
16,020,000
Canada
Government
International
Bond
3
.750
04/26/28
15,677,557‌
7,000,000
g
CDP
Financial,
Inc
1
.000
05/26/26
6,278,176‌
5,975,000
g
Central
American
Bank
for
Economic
Integration
5
.000
02/09/26
5,906,863‌
4,625,000
Council
Of
Europe
Development
Bank
3
.000
06/16/25
4,449,864‌
12,500,000
g
Development
Bank
of
Japan,
Inc
0
.500
03/04/24
12,076,494‌
15,000,000
European
Bank
for
Reconstruction
&
Development
1
.625
09/27/24
14,324,709‌
1,000,000
European
Bank
for
Reconstruction
&
Development
1
.500
02/13/25
944,015‌
1,250,000
European
Investment
Bank
2
.375
05/24/27
1,158,423‌
3,725,000
European
Investment
Bank
0
.625
10/21/27
3,192,603‌
3,750,000
European
Investment
Bank
3
.250
11/15/27
3,599,966‌
10,500,000
European
Investment
Bank
1
.625
10/09/29
9,084,976‌
10,279,000
European
Investment
Bank
0
.750
09/23/30
8,191,353‌
2,485,000
European
Investment
Bank
3
.750
02/14/33
2,446,882‌
9,300,000
g
European
Stability
Mechanism
1
.375
09/11/24
8,867,456‌
10,875,000
Export
Development
Canada
3
.375
08/26/25
10,549,361‌
13,050,000
Export
Development
Canada
3
.875
02/14/28
12,813,674‌
3,968,000
Hydro-Quebec
8
.050
07/07/24
4,052,778‌
2,500,000
Inter-American
Development
Bank
1
.125
01/13/31
2,021,827‌
12,250,000
e
Inter-American
Development
Bank
3
.500
04/12/33
11,756,176‌
10,625,000
Inter-American
Investment
Corp
2
.625
04/22/25
10,144,659‌
17,500,000
Inter-American
Investment
Corp
4
.125
02/15/28
17,215,591‌
3,215,000
i
International
Bank
for
Reconstruction
&
Development
SOFR
Compounded
Index
+
0.390%
5
.480
06/17/24
3,223,089‌
4,750,000
International
Bank
for
Reconstruction
&
Development
3
.125
11/20/25
4,577,643‌
20,000,000
International
Bank
for
Reconstruction
&
Development
0
.000
03/31/27
17,948,200‌
5,000,000
International
Bank
for
Reconstruction
&
Development
0
.000
03/31/28
4,894,450‌
3,000,000
International
Bank
for
Reconstruction
&
Development
1
.625
11/03/31
2,502,703‌
2,900,000
International
Bank
for
Reconstruction
&
Development
2
.750
05/31/36
2,381,708‌
5,000,000
International
Finance
Corp
4
.750
03/16/26
5,006,587‌
3,250,000
e
International
Finance
Corp
2
.126
04/07/26
3,036,645‌
3,350,000
g
Japan
Finance
Organization
for
Municipalities
3
.375
09/27/23
3,332,144‌
8,750,000
e
Japan
International
Cooperation
Agency
1
.750
04/28/31
7,115,283‌
6,000,000
g
Kommunalbanken
AS.
2
.125
02/11/25
5,710,524‌
6,445,000
g
Korea
Electric
Power
Corp
1
.125
06/15/25
5,930,410‌
9,200,000
i
Kreditanstalt
fuer
Wiederaufbau
SOFR
Compounded
Index
+
1.000%
6
.090
02/12/24
9,248,778‌
11,750,000
Kreditanstalt
fuer
Wiederaufbau
0
.250
03/08/24
11,341,266‌
9,537,000
Kreditanstalt
fuer
Wiederaufbau
1
.000
10/01/26
8,530,416‌
3,586,000
Kreditanstalt
fuer
Wiederaufbau
0
.750
09/30/30
2,848,953‌
13,250,000
Landwirtschaftliche
Rentenbank
0
.875
09/03/30
10,588,251‌
10,000,000
g
Nederlandse
Waterschapsbank
NV
1
.750
01/15/25
9,477,498‌
7,750,000
g
Nederlandse
Waterschapsbank
NV
2
.375
03/24/26
7,275,008‌
207
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
12,375,000
g
Nederlandse
Waterschapsbank
NV
4
.000
%
06/01/28
$
12,174,954‌
11,250,000
g
OMERS
Finance
Trust
3
.500
04/19/32
10,310,400‌
8,000,000
g
OMERS
Finance
Trust
4
.000
04/19/52
6,643,654‌
16,375,000
g
OPEC
Fund
for
International
Development
4
.500
01/26/26
16,072,471‌
5,900,000
g
Perusahaan
Penerbit
SBSN
Indonesia
III
3
.900
08/20/24
5,818,875‌
12,175,000
h
Province
of
British
Columbia
Canada
4
.200
07/06/33
12,121,768‌
5,000,000
Province
of
Quebec
Canada
2
.750
04/12/27
4,670,843‌
15,000,000
e
Province
of
Quebec
Canada
1
.900
04/21/31
12,644,185‌
10,000,000
Republic
of
Italy
Government
International
Bond
2
.875
10/17/29
8,683,400‌
10,750,000
Republic
of
Italy
Government
International
Bond
4
.000
10/17/49
8,284,272‌
4,250,000
Seychelles
International
Bond
6
.500
10/11/28
3,749,775‌
TOTAL
FOREIGN
GOVERNMENT
BONDS
541,853,519‌
MORTGAGE
BACKED
-
19
.3
%
46,093,631
g,i
Citigroup
Mortgage
Loan
Trust
0
.156
02/25/52
360,111‌
5,164,565
g,i
Citigroup
Mortgage
Loan
Trust
0
.250
02/25/52
63,836‌
5,392,774
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
2
.310
12/01/31
4,570,044‌
6,875,000
FHLMC
3
.740
06/01/37
6,193,879‌
7,598,319
FHLMC
4
.500
11/01/37
7,452,603‌
5,646,500
FHLMC
4
.300
12/01/37
5,350,923‌
1,864,479
FHLMC
3
.500
03/01/38
1,635,894‌
80,221
FHLMC
4
.000
06/01/42
76,998‌
468,698
i
FHLMC
LIBOR
1
M
+
5.920%
0
.727
03/15/44
39,096‌
4,414,097
FHLMC
3
.500
01/15/47
3,899,892‌
744,490
i
FHLMC
LIBOR
1
M
+
9.920%
1
.611
06/15/48
696,819‌
651,536
i
FHLMC
LIBOR
1
M
+
9.840%
1
.531
10/15/48
593,621‌
8,316,431
FHLMC
2
.000
09/25/50
998,289‌
3,793,570
FHLMC
3
.000
10/25/50
2,689,556‌
14,568,146
FHLMC
2
.500
02/25/51
2,222,911‌
4,380,744
FHLMC
2
.500
05/25/51
2,774,307‌
8,459,468
FHLMC
3
.000
11/01/51
7,545,249‌
392,905
FHLMC
3
.000
11/01/51
349,326‌
1,030,681
FHLMC
3
.000
11/01/51
923,250‌
1,532,972
FHLMC
3
.000
11/01/51
1,367,302‌
16,248,153
FHLMC
2
.500
02/01/52
13,890,254‌
11,270,703
FHLMC
2
.500
03/01/52
9,632,970‌
10,210,213
FHLMC
4
.000
04/01/52
9,589,378‌
15,520,189
FHLMC
3
.500
05/01/52
14,153,880‌
7,570,110
FHLMC
3
.500
06/01/52
6,912,657‌
9,365,548
FHLMC
4
.500
06/01/52
9,005,501‌
8,864,381
FHLMC
4
.500
07/01/52
8,524,009‌
1,375,257
FHLMC
4
.000
08/25/52
1,166,377‌
2,538,410
FHLMC
4
.500
10/25/52
2,301,936‌
10,687,088
FHLMC
6
.000
11/01/52
10,801,631‌
3,071,590
FHLMC
5
.500
11/25/52
3,114,334‌
1,996,181
FHLMC
5
.500
02/25/53
2,001,691‌
86,255
Federal
Home
Loan
Mortgage
Corp
Gold
(FGLMC)
5
.000
06/01/36
86,971‌
80,922
FGLMC
4
.500
12/01/43
80,045‌
77,311
FGLMC
4
.500
02/01/44
76,468‌
713,399
FGLMC
5
.000
08/01/44
719,327‌
135,786
FGLMC
3
.500
04/01/45
126,543‌
2,914,841
FGLMC
3
.500
08/01/45
2,719,413‌
1,605,733
FGLMC
3
.500
02/01/47
1,496,530‌
199,381
FGLMC
4
.500
06/01/47
197,374‌
293,170
FGLMC
4
.000
09/01/47
280,718‌
63,970
FGLMC
3
.500
12/01/47
59,258‌
1,334,635
FGLMC
4
.500
08/01/48
1,311,569‌
54,165
Federal
National
Mortgage
Association
(FNMA)
3
.500
07/01/26
52,613‌
3,717,018
i
FNMA
2
.899
02/25/27
3,490,046‌
9,073,164
i
FNMA
3
.412
06/25/28
8,578,745‌
11,250,000
i
FNMA
1
.517
11/25/30
9,100,929‌
Core
Impact
Bond
Fund
June
30,
2023
208
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
15,500,000
i
FNMA
1
.287
%
01/25/31
$
12,322,808‌
243,932
FNMA
3
.500
05/01/32
233,730‌
3,601,242
FNMA
3
.000
10/01/32
3,389,621‌
15,773,290
FNMA
4
.000
11/01/37
15,223,919‌
118,634
FNMA
5
.500
11/01/38
121,725‌
3,394,319
FNMA
3
.000
05/01/40
3,089,201‌
955,962
FNMA
3
.500
05/01/40
897,039‌
260,329
FNMA
5
.000
09/01/40
262,193‌
406,767
FNMA
5
.000
04/01/41
409,684‌
12,580,501
FNMA
2
.000
03/01/42
10,646,920‌
1,330,489
FNMA
4
.000
09/01/42
1,275,385‌
604,042
i
FNMA
LIBOR
1
M
+
5.950%
0
.800
09/25/43
59,710‌
39,934,686
FNMA
4
.000
05/01/44
38,234,436‌
42,517
FNMA
4
.500
06/01/44
41,679‌
242,987
FNMA
4
.500
06/01/44
238,212‌
104,140
FNMA
4
.500
08/01/44
102,090‌
200,806
FNMA
4
.500
11/01/44
196,847‌
564,254
FNMA
4
.000
01/01/45
540,867‌
196,162
FNMA
4
.500
03/01/45
192,535‌
594,616
FNMA
3
.500
01/01/46
553,001‌
660,475
FNMA
4
.000
04/01/46
631,549‌
851,640
FNMA
3
.500
06/01/46
792,032‌
1,201,993
FNMA
3
.500
07/01/46
1,117,865‌
1,619,978
FNMA
3
.500
07/01/46
1,514,872‌
1,777,741
FNMA
3
.500
08/01/46
1,653,315‌
2,325,685
FNMA
3
.000
10/01/46
2,056,302‌
125,895
FNMA
4
.500
05/01/47
124,325‌
469,374
FNMA
4
.000
10/01/47
447,654‌
3,928,950
FNMA
3
.500
11/01/47
3,663,552‌
240,048
FNMA
4
.500
11/01/47
235,563‌
91,655
FNMA
3
.500
01/01/48
84,732‌
3,036,766
FNMA
3
.500
01/01/48
2,807,917‌
848,805
FNMA
4
.500
01/01/48
833,157‌
224,569
FNMA
4
.500
02/01/48
220,431‌
569,710
FNMA
4
.500
05/01/48
559,073‌
422,315
FNMA
4
.500
05/01/48
414,298‌
223,901
FNMA
5
.000
08/01/48
222,940‌
9,460,325
FNMA
4
.500
10/01/48
9,615,163‌
14,157,486
FNMA
3
.000
07/01/50
12,628,006‌
4,449,701
FNMA
2
.000
08/25/50
611,509‌
4,717,850
FNMA
2
.000
10/25/50
3,184,808‌
12,503,197
FNMA
2
.500
11/25/50
1,778,945‌
4,282,594
FNMA
3
.000
12/25/50
702,362‌
4,174,870
FNMA
3
.000
02/25/51
751,774‌
33,237,380
FNMA
2
.000
04/01/51
27,213,937‌
2,150,520
FNMA
3
.000
09/01/51
1,912,937‌
4,632,142
FNMA
2
.500
11/25/51
579,181‌
1,446,464
FNMA
2
.000
02/01/52
1,186,877‌
6,684,101
FNMA
2
.500
02/01/52
5,714,112‌
11,867,765
FNMA
2
.500
02/01/52
10,130,795‌
7,599,157
FNMA
3
.500
02/01/52
6,983,426‌
20,090,324
FNMA
2
.000
03/01/52
16,464,324‌
676,376
FNMA
2
.000
03/01/52
554,301‌
1,816,126
FNMA
2
.500
04/01/52
1,552,097‌
12,494,101
FNMA
3
.000
04/01/52
11,040,054‌
1,527,073
FNMA
3
.000
04/01/52
1,352,067‌
12,071,729
FNMA
3
.000
04/01/52
10,675,219‌
1,349,851
FNMA
3
.500
04/01/52
1,230,322‌
12,083,699
FNMA
3
.500
05/01/52
11,013,789‌
18,744,288
FNMA
3
.500
05/01/52
17,084,503‌
21,817,433
FNMA
4
.000
05/01/52
20,486,222‌
209
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,886,769
FNMA
4
.000
%
05/25/52
$
1,514,093‌
16,391,457
FNMA
3
.500
06/01/52
14,970,478‌
10,547,123
FNMA
4
.000
06/01/52
9,903,562‌
4,548,532
FNMA
4
.500
06/01/52
4,373,883‌
18,909,857
FNMA
4
.000
07/01/52
17,755,997‌
8,287,258
FNMA
4
.000
07/01/52
7,779,011‌
3,936,526
FNMA
4
.500
07/01/52
3,785,706‌
29,560,798
FNMA
4
.500
07/01/52
28,425,927‌
5,245,163
FNMA
4
.500
07/25/52
4,821,531‌
18,649,785
FNMA
5
.000
08/01/52
18,293,215‌
2,250,785
FNMA
4
.500
08/25/52
1,966,089‌
34,578,922
FNMA
4
.000
09/01/52
32,454,629‌
152,609,125
FNMA
4
.500
09/01/52
146,746,307‌
5,098,649
FNMA
5
.000
09/01/52
4,999,654‌
1,965,329
FNMA
4
.000
09/25/52
1,763,670‌
1,726,509
FNMA
4
.000
09/25/52
1,449,691‌
70,313,374
FNMA
4
.000
10/01/52
66,001,098‌
9,571,620
FNMA
4
.500
10/01/52
9,203,412‌
47,833,043
FNMA
5
.000
10/01/52
46,891,768‌
1,654,817
FNMA
4
.500
10/25/52
1,584,713‌
1,887,526
FNMA
4
.500
10/25/52
1,815,334‌
3,807,920
FNMA
4
.500
11/01/52
3,661,437‌
3,137,712
FNMA
5
.500
11/25/52
3,151,783‌
10,583,703
FNMA
5
.500
12/01/52
10,563,805‌
11,484,714
Freddie
Mac
Multifamily
Variable
Rate
Certificate
2
.875
07/25/36
10,071,544‌
9,240,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
2.400%
7
.467
02/25/42
9,140,165‌
12,600,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.500%
9
.567
06/25/42
13,245,507‌
4,510,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.000%
9
.067
07/25/42
4,651,283‌
562,625
Government
National
Mortgage
Association
(GNMA)
2
.690
06/15/33
504,873‌
4,198,028
GNMA
5
.000
01/20/40
827,716‌
29,212
GNMA
5
.000
06/20/42
29,683‌
7,859,753
GNMA
2
.500
12/20/43
6,952,129‌
11,290,647
GNMA
2
.750
01/15/45
10,025,662‌
2,368,784
GNMA
3
.000
03/20/45
2,078,034‌
499,873
GNMA
4
.000
06/20/46
63,953‌
2,457,891
GNMA
3
.500
12/20/46
2,301,944‌
1,669,183
GNMA
3
.500
01/20/47
1,565,180‌
3,102,800
i
GNMA
LIBOR
1
M
+
6.100%
0
.943
03/20/50
349,614‌
1,499,566
GNMA
3
.500
10/20/50
1,393,154‌
4,702,691
GNMA
3
.000
07/20/51
4,221,993‌
8,781,794
GNMA
3
.000
11/20/51
6,452,730‌
7,647,658
GNMA
3
.000
01/20/52
5,711,482‌
4,460,821
GNMA
2
.500
02/20/52
3,707,548‌
5,995,137
GNMA
2
.500
05/20/52
5,191,978‌
62,128,403
GNMA
3
.000
05/20/52
55,557,756‌
16,991,220
GNMA
3
.500
07/20/52
15,680,103‌
2,323,516
GNMA
4
.000
07/20/52
1,925,580‌
7,480,112
GNMA
4
.000
08/20/52
7,077,302‌
35,141,586
GNMA
4
.000
09/20/52
33,249,156‌
4,121,587
GNMA
4
.500
09/20/52
3,787,351‌
3,358,244
GNMA
4
.500
09/20/52
3,176,875‌
2,389,142
GNMA
4
.500
09/20/52
2,171,478‌
2,803,438
GNMA
4
.500
09/20/52
2,618,923‌
14,984,529
GNMA
5
.000
11/20/52
14,737,896‌
25,066,069
GNMA
3
.500
12/20/52
23,131,931‌
16,764,378
GNMA
4
.500
12/20/52
16,180,873‌
2,806,709
GNMA
4
.500
02/20/53
2,556,384‌
2,530,873
GNMA
5
.500
02/20/53
2,516,431‌
7,316,486
GNMA
1
.884
05/20/53
466,864‌
Core
Impact
Bond
Fund
June
30,
2023
210
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,074,439
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
2
.500
%
08/25/51
$
834,183‌
TOTAL
MORTGAGE
BACKED
1,167,165,033‌
MUNICIPAL
BONDS
-
6
.6
%
2,000,000
Brunswick
&
Glynn
County
Development
Authority
3
.060
04/01/25
1,926,160‌
3,000,000
California
Earthquake
Authority
1
.477
07/01/23
3,000,000‌
950,000
California
Health
Facilities
Financing
Authority
4
.353
06/01/41
876,502‌
145,000
g
California
Municipal
Finance
Authority
4
.250
11/01/23
143,604‌
6,400,000
g
California
Municipal
Finance
Authority
6
.375
11/15/48
5,531,453‌
5,825,000
California
Municipal
Finance
Authority
3
.594
08/15/51
4,121,897‌
12,250,000
Chicago
Housing
Authority
4
.361
01/01/38
11,326,850‌
16,465,000
Chicago
Metropolitan
Water
Reclamation
District-
Greater
Chicago
5
.720
12/01/38
17,648,613‌
1,000,000
Chicago
Park
District
4
.095
01/01/26
964,831‌
625,000
Chula
Vista
Municipal
Financing
Authority
3
.775
12/01/33
571,339‌
1,350,000
Chula
Vista
Municipal
Financing
Authority
3
.975
12/01/38
1,195,333‌
740,000
Chula
Vista
Municipal
Financing
Authority
4
.075
12/01/41
637,750‌
4,300,000
Chula
Vista
Municipal
Financing
Authority
4
.275
12/01/48
3,654,015‌
5,730,000
City
&
County
of
Honolulu
HI
3
.944
09/01/34
5,355,045‌
935,000
City
&
County
of
San
Francisco
CA
3
.700
04/01/34
828,605‌
440,000
City
&
County
of
San
Francisco
CA
3
.750
04/01/35
386,880‌
5,835,000
City
&
County
of
San
Francisco
CA
3
.900
04/01/42
4,891,852‌
5,405,000
City
&
County
of
San
Francisco
CA
Community
Facilities
District
3
.750
09/01/37
4,740,217‌
4,610,000
City
&
County
of
San
Francisco
CA
Community
Facilities
District
4
.221
09/01/39
4,145,538‌
5,000,000
City
&
County
of
San
Francisco
CA
Community
Facilities
District
4
.000
09/01/48
4,084,886‌
7,805,000
City
&
County
of
San
Francisco
CA
Community
Facilities
District
3
.482
09/01/50
5,695,674‌
1,225,000
City
&
County
of
San
Francisco
CA
Community
Facilities
District
No
2014
6
.332
09/01/51
1,268,169‌
1,925,000
City
of
Berkeley
CA
3
.250
09/01/35
1,663,064‌
8,885,000
City
of
Berkeley
CA
3
.750
09/01/43
7,256,969‌
2,490,000
City
of
Chicago
IL
7
.750
01/01/42
2,557,802‌
650,000
City
of
Detroit
MI
2
.511
04/01/25
595,284‌
745,000
City
of
Detroit
MI
2
.711
04/01/26
661,151‌
525,000
City
of
Detroit
MI
3
.644
04/01/34
415,918‌
2,750,000
City
of
Florence
SC
4
.250
12/01/34
2,596,496‌
4,000,000
City
of
Los
Angeles
CA
3
.500
09/01/37
3,415,176‌
9,060,000
City
of
Los
Angeles
CA
3
.880
09/01/38
8,110,630‌
7,000,000
City
of
Los
Angeles
CA
5
.000
09/01/42
6,824,578‌
5,850,000
City
of
Los
Angeles
Department
of
Airports
Customer
Facility
Charge
Revenue
4
.242
05/15/48
5,144,108‌
870,000
g
City
of
Miami
FL
4
.808
01/01/39
798,258‌
170,000
City
of
Mount
Shasta
CA
4
.000
08/01/29
180,996‌
190,000
City
of
Mount
Shasta
CA
3
.000
08/01/32
189,611‌
2,685,000
City
of
Oakland
CA
1
.830
01/15/27
2,405,768‌
3,025,000
City
of
Port
Lions
AK
7
.500
10/01/52
3,177,013‌
12,615,000
City
of
San
Francisco
CA
Public
Utilities
Commission
Water
Revenue
3
.303
11/01/39
10,409,128‌
15,205,000
City
of
San
Francisco
CA
Public
Utilities
Commission
Water
Revenue
2
.825
11/01/41
11,921,787‌
5,750,000
City
of
San
Francisco
CA
Public
Utilities
Commission
Water
Revenue
4
.185
11/01/46
4,931,821‌
1,385,000
City
of
San
Juan
Capistrano
CA
4
.190
08/01/40
1,264,294‌
5,255,000
City
of
Seattle
WA
Local
Improvement
District
No
6751
2
.999
11/01/43
4,421,955‌
5,240,000
City
of
Seattle
WA
Local
Improvement
District
No
6751
3
.079
11/01/43
4,367,782‌
360,000
Clean
Water
Services
5
.701
10/01/30
376,783‌
1,250,000
Connecticut
Green
Bank
2
.900
11/15/35
1,039,607‌
5,000,000
County
of
Alameda
CA
3
.820
08/01/38
4,488,881‌
4,500,000
g
County
of
Fond
Du
Lac
WI
5
.569
11/01/51
4,279,377‌
3,500,000
g
County
of
Gallatin
MT
11
.500
09/01/27
3,650,148‌
211
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MUNICIPAL
BONDS—continued
$
12,020,000
County
of
Miami-Dade
FL
Water
&
Sewer
System
Revenue
3
.490
%
10/01/42
$
9,737,614‌
360,000
County
of
Saline
AR
4
.000
06/01/37
324,609‌
3,500,000
District
of
Columbia
3
.432
04/01/42
2,786,465‌
1,900,000
District
of
Columbia
Water
&
Sewer
Authority
4
.814
10/01/14
1,769,161‌
6,550,000
g
Florida
Development
Finance
Corp
7
.250
07/01/57
6,662,427‌
3,125,000
Florida
Development
Finance
Corp
7
.500
07/01/57
3,075,809‌
20,000,000
Grant
County
Public
Utility
District
No
2
2
.918
01/01/40
15,711,222‌
9,405,000
Grant
County
Public
Utility
District
No
2
3
.210
01/01/40
7,622,165‌
9,375,000
Great
Lakes
Water
Authority
Sewage
Disposal
System
Revenue
3
.056
07/01/39
7,587,905‌
13,265,000
Great
Lakes
Water
Authority
Water
Supply
System
Revenue
3
.473
07/01/41
10,998,948‌
1,180,000
Idaho
State
Building
Authority
3
.202
09/01/37
991,883‌
3,105,000
Jackson
County
Industrial
Development
Authority
4
.250
05/01/39
2,853,296‌
2,000,000
Kern
County
Water
Agency
Improvement
District
No
4
4
.276
05/01/36
1,917,691‌
450,000
Klickitat
County
Public
Utilities
3
.688
12/01/38
384,310‌
1,000,000
Lavaca-Navidad
River
Authority
4
.430
08/01/35
979,945‌
7,690,000
Los
Angeles
Community
College
District
2
.106
08/01/32
6,284,329‌
1,300,000
Maine
State
Housing
Authority
2
.481
11/15/31
1,069,875‌
2,490,000
Maryland
Community
Development
Administration
Housing
Revenue
3
.797
03/01/39
2,203,080‌
3,000,000
Massachusetts
Clean
Energy
Cooperative
Corp
2
.020
07/01/28
2,653,721‌
3,455,000
Massachusetts
Housing
Finance
Agency
5
.562
12/01/52
3,445,445‌
2,705,000
Massachusetts
St.
Water
Pollution
Abatement
5
.192
08/01/40
2,713,536‌
10,735,000
Metropolitan
Transportation
Authority
5
.175
11/15/49
9,817,311‌
700,000
New
Jersey
Economic
Development
Authority
5
.198
03/01/31
693,245‌
4,065,000
New
York
City
Housing
Development
Corp
3
.119
08/01/38
3,157,603‌
2,500,000
New
York
City
Housing
Development
Corp
3
.720
11/01/39
2,107,584‌
1,370,000
New
York
State
Energy
Research
&
Development
Authority
2
.465
10/01/26
1,245,235‌
1,210,000
New
York
State
Energy
Research
&
Development
Authority
2
.665
10/01/27
1,082,243‌
1,045,000
New
York
State
Energy
Research
&
Development
Authority
2
.879
10/01/28
921,523‌
2,115,000
New
York
State
Environmental
Facilities
Corp
3
.420
07/15/26
2,016,894‌
7,500,000
New
York
Transportation
Development
Corp
5
.000
01/01/26
7,667,327‌
1,500,000
g
Ohio
Air
Quality
Development
Authority
4
.250
01/15/38
1,454,077‌
2,000,000
g
Ohio
Air
Quality
Development
Authority
4
.500
01/15/48
1,902,950‌
5,750,000
g,q
Oregon
State
Business
Development
Commission
6
.500
04/01/31
28,750‌
2,000,000
q
Oregon
State
Business
Development
Commission
11
.500
04/01/31
20‌
2,665,000
Papio-Missouri
River
Natural
Resource
District
2
.198
12/15/25
2,487,380‌
2,080,000
Papio-Missouri
River
Natural
Resource
District
2
.318
12/15/26
1,913,966‌
3,250,000
Papio-Missouri
River
Natural
Resource
District
2
.482
12/15/27
2,960,587‌
2,725,000
Pend
Oreille
County
Public
Utility
District
No
Box
Canyon
5
.000
01/01/30
2,693,880‌
6,920,000
g
Pennsylvania
Economic
Development
Financing
Authority
10
.000
12/01/29
6,468,724‌
275,000
Pharr
Economic
Development
Corp
3
.216
08/15/27
257,835‌
1,110,000
Pharr
Economic
Development
Corp
3
.401
08/15/29
1,025,282‌
405,000
†,q
Public
Finance
Authority
15
.000
08/31/23
61,762‌
1,735,000
g
Public
Finance
Authority
7
.500
06/01/29
1,705,360‌
300,000
Redevelopment
Authority
of
the
City
of
Philadelphia
1
.377
09/01/25
274,308‌
400,000
Redevelopment
Authority
of
the
City
of
Philadelphia
4
.867
09/01/25
393,684‌
1,750,000
Redevelopment
Authority
of
the
City
of
Philadelphia
3
.172
09/01/41
1,309,176‌
1,000,000
Redevelopment
Authority
of
the
City
of
Philadelphia
5
.590
09/01/41
1,003,255‌
1,000,000
Rhode
Island
Housing
&
Mortgage
Finance
Corp
3
.300
10/01/39
799,936‌
1,450,000
Rhode
Island
Housing
&
Mortgage
Finance
Corp
3
.400
10/01/44
1,082,744‌
6,950,000
Rhode
Island
Housing
&
Mortgage
Finance
Corp
3
.500
10/01/51
4,920,252‌
995,000
Sales
Tax
Securitization
Corp
5
.293
01/01/41
989,619‌
1,000,000
San
Francisco
City
&
County
Redevelopment
Agency
3
.533
08/01/25
962,316‌
1,000,000
San
Francisco
City
&
County
Redevelopment
Agency
4
.375
08/01/44
869,451‌
250,000
Sangamon
County
Water
Reclamation
District
2
.507
01/01/29
226,277‌
Core
Impact
Bond
Fund
June
30,
2023
212
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MUNICIPAL
BONDS—continued
$
2,500,000
Sangamon
County
Water
Reclamation
District
2
.907
%
01/01/34
$
2,006,518‌
2,050,000
Sangamon
County
Water
Reclamation
District
3
.272
01/01/37
1,599,516‌
3,000,000
Semitropic
Improvement
District
2
.499
12/01/25
2,799,179‌
1,000,000
Semitropic
Improvement
District
of
the
Semitropic
Water
Storage
District
3
.293
12/01/35
828,515‌
1,890,000
South
Dakota
Housing
Development
Authority
5
.460
05/01/53
1,879,895‌
1,000,000
South
Davis
Sewer
District
4
.125
12/01/32
951,870‌
1,100,000
South
Davis
Sewer
District
4
.500
12/01/37
1,037,346‌
2,090,000
State
of
California
4
.600
04/01/38
2,007,393‌
2,480,000
State
of
California
4
.988
04/01/39
2,448,920‌
2,145,034
State
of
Hawaii
Department
of
Business
Economic
Development
&
Tourism
3
.242
01/01/31
2,054,627‌
3,490,000
State
of
Oregon
4
.142
05/01/28
3,421,408‌
1,000,000
State
of
Texas
3
.726
08/01/43
998,531‌
6,625,000
Stockton
Public
Financing
Authority
3
.610
10/01/40
5,495,218‌
2,400,000
g
Syracuse
Industrial
Development
Agency
5
.000
01/01/36
1,792,431‌
1,000,000
Texas
Water
Development
Board
3
.500
10/15/37
884,586‌
7,500,000
Texas
Water
Development
Board
4
.190
10/15/43
6,785,178‌
3,000,000
Texas
Water
Development
Board
3
.700
10/15/47
2,459,830‌
3,000,000
Texas
Water
Development
Board
4
.648
04/15/50
2,810,801‌
2,000,000
University
of
New
Mexico
3
.532
06/20/32
1,884,612‌
4,400,000
Upper
Santa
Clara
Valley
Joint
Powers
Authority
3
.875
08/01/48
3,592,172‌
5,000,000
Vermont
Educational
&
Health
Buildings
Financing
Agency
4
.000
12/01/42
4,660,464‌
750,000
Vermont
Educational
&
Health
Buildings
Financing
Agency
4
.000
12/01/46
685,119‌
750,000
Village
of
Bellwood
IL
5
.375
12/01/32
694,163‌
4,460,000
Village
of
Bellwood
IL
6
.000
12/01/50
3,691,536‌
1,000,000
g
Warm
Springs
Reservation
Confederated
Tribe
3
.300
11/01/27
941,277‌
1,250,000
g
Warm
Springs
Reservation
Confederated
Tribe
3
.550
11/01/32
1,129,952‌
530,000
Washington
County
Clean
Water
Services
5
.078
10/01/24
527,973‌
1,905,000
†,g,q
Washington
Economic
Development
Finance
Authority
7
.500
01/01/32
19‌
650,000
Yuba
City
Public
Financing
Authority
3
.960
06/01/32
617,993‌
1,500,000
Yuba
City
Public
Financing
Authority
4
.320
06/01/42
1,361,899‌
TOTAL
MUNICIPAL
BONDS
398,462,531‌
U.S.
TREASURY
SECURITIES
-
13
.6
%
2,500,000
United
States
Treasury
Bond
3
.125
05/15/48
2,156,543‌
2,500,000
United
States
Treasury
Bond
3
.000
02/15/49
2,114,160‌
620,000
United
States
Treasury
Note
2
.875
04/30/25
597,041‌
29,396,000
United
States
Treasury
Note
4
.250
05/31/25
29,026,254‌
41,244,000
United
States
Treasury
Note
4
.625
06/30/25
41,055,502‌
34,880,000
United
States
Treasury
Note
4
.125
06/15/26
34,528,475‌
3,235,000
United
States
Treasury
Note
0
.500
10/31/27
2,761,123‌
6,025,000
United
States
Treasury
Note
0
.625
11/30/27
5,160,083‌
38,062,000
United
States
Treasury
Note
3
.625
05/31/28
37,229,394‌
47,148,000
United
States
Treasury
Note
4
.000
06/30/28
46,890,159‌
9,000,000
United
States
Treasury
Note
1
.375
10/31/28
7,830,000‌
51,817,000
United
States
Treasury
Note
3
.750
06/30/30
51,128,805‌
270,985,000
United
States
Treasury
Note
3
.375
05/15/33
261,331,159‌
14,543,000
United
States
Treasury
Note
1
.875
02/15/41
10,561,286‌
9,700,000
United
States
Treasury
Note
2
.250
05/15/41
7,470,516‌
116,487,800
j
United
States
Treasury
Note
2
.375
02/15/42
90,692,123‌
9,000,000
United
States
Treasury
Note
4
.000
11/15/42
8,942,344‌
47,010,000
e
United
States
Treasury
Note
3
.875
05/15/43
45,871,476‌
31,783,000
United
States
Treasury
Note
2
.250
02/15/52
22,968,184‌
120,512,000
United
States
Treasury
Note
3
.625
02/15/53
115,653,860‌
TOTAL
U.S.
TREASURY
SECURITIES
823,968,487‌
TOTAL
GOVERNMENT
BONDS
3,194,838,396‌
(Cost
$3,408,956,635)
213
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
STRUCTURED
ASSETS
-
15
.3
%
ASSET
BACKED
-
4
.6
%
$
450,000
g
AMSR
Trust
3
.148
%
01/19/39
$
407,978‌
Series
-
2019
SFR1
(Class
C)
400,000
g
AMSR
Trust
3
.247
01/19/39
360,481‌
Series
-
2019
SFR1
(Class
D)
2,500,000
g,i
BFLD
Trust
LIBOR
1
M
+
2.100%
7
.293
10/15/35
1,387,921‌
Series
-
2020
EYP
(Class
C)
89,745
i
C-BASS
Trust
LIBOR
1
M
+
0.160%
3
.075
07/25/36
85,097‌
Series
-
2006
CB6
(Class
A1)
1,447,025
g,i
CBRE
Realty
Finance
LIBOR
3
M
+
0.300%
5
.200
04/07/52
3,618‌
Series
-
2007
1A
(Class
A2)
2,134,116
Delta
Air
Lines
Pass
Through
Trust
4
.250
07/30/23
2,127,901‌
Series
-
2015
1
(Class
B)
12,614,000
Delta
Air
Lines
Pass
Through
Trust
3
.204
04/25/24
12,360,185‌
Series
-
2019
1
(Class
AA)
13,700,000
Delta
Air
Lines
Pass
Through
Trust
3
.404
04/25/24
13,346,188‌
Series
-
2019
1
(Class
A)
6,318,760
Delta
Air
Lines
Pass
Through
Trust
2
.000
06/10/28
5,562,589‌
Series
-
2020
1
(Class
AA)
15,234,496
Delta
Air
Lines
Pass
Through
Trust
2
.500
06/10/28
13,130,868‌
Series
-
2020
1
(Class
A)
841,500
g
Domino's
Pizza
Master
Issuer
LLC
4
.474
10/25/45
802,287‌
Series
-
2015
1A
(Class
A2II)
764,000
g
Domino's
Pizza
Master
Issuer
LLC
4
.116
07/25/48
723,536‌
Series
-
2018
1A
(Class
A2I)
169,614
g,i
Ellington
Loan
Acquisition
Trust
LIBOR
1
M
+
1.100%
6
.250
05/25/37
167,554‌
Series
-
2007
2
(Class
A2C)
3,279,261
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.100
05/20/48
2,515,686‌
Series
-
2021
3CS
(Class
A)
3,538,608
g
GoodLeap
Sustainable
Home
Solutions
Trust
1
.930
07/20/48
2,689,039‌
Series
-
2021
4GS
(Class
A)
12,956,343
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.310
10/20/48
9,924,831‌
Series
-
2021
5CS
(Class
A)
4,836,093
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.560
10/20/48
3,399,018‌
Series
-
2021
5CS
(Class
B)
4,549,706
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.700
01/20/49
3,638,823‌
Series
-
2022
1GS
(Class
A)
3,153,851
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.940
01/20/49
2,380,174‌
Series
-
2022
1GS
(Class
B)
14,621,397
g
GoodLeap
Sustainable
Home
Solutions
Trust
4
.950
07/20/49
13,407,555‌
Series
-
2022
3CS
(Class
A)
3,250,000
g
Grace
Trust
2
.347
12/10/40
2,534,093‌
Series
-
2020
GRCE
(Class
A)
7,789,000
g
GSCG
Trust
2
.936
09/06/34
6,696,752‌
Series
-
2019
600C
(Class
A)
608,826
g
HERO
Funding
Trust
3
.840
09/21/40
548,263‌
Series
-
2015
1A
(Class
A)
144,470
g
HERO
Funding
Trust
3
.990
09/21/40
134,578‌
Series
-
2014
2A
(Class
A)
717,942
g
HERO
Funding
Trust
3
.750
09/20/41
643,363‌
Series
-
2016
2A
(Class
A)
575,491
g
HERO
Funding
Trust
4
.050
09/20/41
521,943‌
Series
-
2016
1A
(Class
A)
1,440,512
g
HERO
Funding
Trust
3
.080
09/20/42
1,257,762‌
Series
-
2016
3A
(Class
A1)
1,299,644
g
HERO
Funding
Trust
3
.910
09/20/42
1,163,520‌
Series
-
2016
3A
(Class
A2)
1,317,703
g
HERO
Funding
Trust
3
.570
09/20/47
1,165,703‌
Series
-
2016
4A
(Class
A1)
Core
Impact
Bond
Fund
June
30,
2023
214
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
1,323,255
g
HERO
Funding
Trust
3
.710
%
09/20/47
$
1,156,370‌
Series
-
2017
1A
(Class
A1)
195,215
g
HERO
Funding
Trust
4
.290
09/20/47
176,452‌
Series
-
2016
4A
(Class
A2)
2,225,243
g
HERO
Funding
Trust
3
.190
09/20/48
1,904,704‌
Series
-
2017
3A
(Class
A1)
2,082,298
g
HERO
Funding
Trust
3
.950
09/20/48
1,823,795‌
Series
-
2017
3A
(Class
A2)
846,764
g
HERO
Funding
Trust
4
.070
09/20/48
745,801‌
Series
-
2017
2A
(Class
A2)
2,994,475
g
HERO
Funding
Trust
4
.670
09/20/48
2,721,147‌
Series
-
2018
1A
(Class
A2)
2,208,667
g
HERO
Funding
Trust
2
.720
09/20/57
1,794,696‌
Series
-
2020
1A
(Class
A)
7,375,000
g
Hertz
Vehicle
Financing
III
LLC
5
.570
09/25/29
7,254,716‌
Series
-
2023
2A
(Class
A)
22,300
i
Home
Equity
Asset
Trust
LIBOR
1
M
+
1.500%
3
.986
06/25/33
21,733‌
Series
-
2003
1
(Class
M1)
499,977
g,i
Invitation
Homes
Trust
LIBOR
1
M
+
1.250%
6
.396
01/17/38
497,381‌
Series
-
2018
SFR4
(Class
B)
3,634,254
g
Loanpal
Solar
Loan
Ltd
2
.750
07/20/47
2,808,329‌
Series
-
2020
2GF
(Class
A)
1,869,076
g
Loanpal
Solar
Loan
Ltd
2
.290
01/20/48
1,393,335‌
Series
-
2021
1GS
(Class
A)
2,532,542
g
Loanpal
Solar
Loan
Ltd
2
.840
01/20/48
1,788,136‌
Series
-
2021
1GS
(Class
B)
5,588,624
g
Loanpal
Solar
Loan
Ltd
2
.220
03/20/48
4,049,498‌
Series
-
2021
2GS
(Class
A)
2,312,878
†,g
Mosaic
Solar
Loan
Trust
0
.000
04/20/46
1,630,348‌
Series
-
2020
1A
(Class
R)
1,449,943
g
Mosaic
Solar
Loan
Trust
2
.100
04/20/46
1,241,492‌
Series
-
2020
1A
(Class
A)
1,842,141
g
Mosaic
Solar
Loan
Trust
3
.100
04/20/46
1,529,185‌
Series
-
2020
1A
(Class
B)
5,286,170
g
Mosaic
Solar
Loan
Trust
1
.920
06/20/52
3,785,067‌
Series
-
2021
3A
(Class
B)
4,145,733
g
Mosaic
Solar
Loan
Trust
6
.100
06/20/53
4,135,846‌
Series
-
2022
3A
(Class
A)
1,890,358
g
Mosaic
Solar
Loans
LLC
3
.820
06/22/43
1,713,280‌
Series
-
2017
2A
(Class
A)
3,365,929
g
Mosaic
Solar
Loans
LLC
1
.640
04/22/47
2,707,711‌
Series
-
2021
2A
(Class
A)
290,000
g,i
MSCG
Trust
3
.577
06/07/35
241,417‌
Series
-
2015
ALDR
(Class
D)
182,566
g
MVW
Owner
Trust
2
.420
12/20/34
181,443‌
Series
-
2017
1A
(Class
A)
700,000
g
Progress
Residential
Trust
2
.711
11/17/40
573,335‌
Series
-
2021
SFR9
(Class
D)
4,000,000
PSNH
Funding
LLC
3
.506
08/01/28
3,845,373‌
Series
-
2018
1
(Class
A2)
707,667
g
Renew
3
.670
09/20/52
613,993‌
Series
-
2017
1A
(Class
A)
1,914,855
g
Renew
3
.950
09/20/53
1,674,838‌
Series
-
2018
1
(Class
A)
3,895,347
g
Renew
2
.060
11/20/56
3,069,425‌
Series
-
2021
1
(Class
A)
9,524,115
SCE
Recovery
Funding
LLC
0
.861
11/15/31
7,884,626‌
Series
-
2021
A-1
(Class
A)
47,368
†,g
SolarCity
LMC
4
.800
11/20/38
44,791‌
Series
-
2013
1
(Class
A)
215
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
6,560,339
g
Sunnova
Helios
VII
Issuer
LLC
2
.030
%
10/20/48
$
5,428,987‌
Series
-
2021
C
(Class
A)
3,712,209
g
Sunnova
Helios
VIII
Issuer
LLC
2
.790
02/22/49
3,160,587‌
Series
-
2022
A
(Class
A)
2,638,635
g
Sunnova
Helios
XI
Issuer
LLC
5
.300
05/20/50
2,548,299‌
Series
-
2023
A
(Class
A)
5,145,306
g
Sunrun
Athena
Issuer
LLC
5
.310
04/30/49
4,816,908‌
Series
-
2018
1
(Class
A)
6,499,660
g
Sunrun
Atlas
Issuer
LLC
3
.610
02/01/55
5,690,998‌
Series
-
2019
2
(Class
A)
13,179,011
g
Sunrun
Callisto
Issuer
LLC
3
.980
06/30/54
11,641,469‌
Series
-
2019
1A
(Class
A)
5,632,197
g
Sunrun
Callisto
Issuer
LLC
2
.270
01/30/57
4,496,050‌
Series
-
2021
2A
(Class
A)
6,793,110
g
Sunrun
Jupiter
Issuer
LLC
4
.750
07/30/57
6,036,825‌
Series
-
2022
1A
(Class
A)
9,116,319
g
Sunrun
Vulcan
Issuer
LLC
2
.460
01/30/52
7,237,591‌
Series
-
2021
1A
(Class
A)
6,650,000
g
Tesla
Auto
Lease
Trust
0
.660
03/20/25
6,519,582‌
Series
-
2021
A
(Class
A4)
10,250,000
g
Tesla
Auto
Lease
Trust
1
.340
03/20/25
9,957,085‌
Series
-
2021
A
(Class
D)
4,500,000
g
Tesla
Auto
Lease
Trust
0
.600
09/22/25
4,339,298‌
Series
-
2021
B
(Class
A3)
7,000,000
g
Tesla
Auto
Lease
Trust
1
.320
09/22/25
6,594,270‌
Series
-
2021
B
(Class
D)
6,565,482
Toyota
Auto
Receivables
Owner
Trust
0
.260
11/17/25
6,353,939‌
Series
-
2021
B
(Class
A3)
9,900,000
Toyota
Auto
Receivables
Owner
Trust
0
.530
10/15/26
9,147,275‌
Series
-
2021
B
(Class
A4)
325,000
g
Tricon
American
Homes
Trust
2
.049
07/17/38
290,200‌
Series
-
2020
SFR1
(Class
B)
5,156,782
g
Vivint
Colar
Financing
V
LLC
4
.730
04/30/48
4,574,555‌
Series
-
2018
1A
(Class
A)
8,239,295
g
Vivint
Colar
Financing
V
LLC
7
.370
04/30/48
7,540,293‌
Series
-
2018
1A
(Class
B)
4,459,620
g
Vivint
Solar
Financing
VII
LLC
2
.210
07/31/51
3,442,167‌
Series
-
2020
1A
(Class
A)
TOTAL
ASSET
BACKED
275,911,947‌
OTHER
MORTGAGE
BACKED
-
10
.7
%
2,165,000
g,i
20
Times
Square
Trust
3
.203
05/15/35
1,820,494‌
Series
-
2018
20TS
(Class
B)
11,824
g,i
Agate
Bay
Mortgage
Trust
3
.500
09/25/45
10,549‌
Series
-
2015
6
(Class
A9)
4,075,000
g,i
Alen
Mortgage
Trust
LIBOR
1
M
+
2.250%
7
.443
04/15/34
3,128,119‌
Series
-
2021
ACEN
(Class
C)
1,900,000
g,i
Angel
Oak
Mortgage
Trust
2
.837
11/25/66
1,278,058‌
Series
-
2021
8
(Class
A3)
900,000
g,i
BAMLL
Commercial
Mortgage
Securities
Trust
3
.716
04/14/33
797,792‌
Series
-
2015
200P
(Class
D)
427,987
Banc
of
America
Commercial
Mortgage
Trust
3
.019
07/15/49
408,689‌
Series
-
2016
UB10
(Class
ASB)
5,000,000
g
BANK
2
.500
10/17/52
2,829,174‌
Series
-
2019
BN21
(Class
D)
6,500,000
i
BANK
3
.517
10/17/52
4,325,520‌
Series
-
2019
BN21
(Class
C)
2,000,000
BANK
3
.203
12/15/52
1,699,956‌
Series
-
2019
BN23
(Class
AS)
2,500,000
i
BANK
3
.016
12/15/53
1,481,706‌
Series
-
2020
BN30
(Class
MCDE)
Core
Impact
Bond
Fund
June
30,
2023
216
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
8,000,000
i
BANK
3
.576
%
11/15/62
$
5,861,940‌
Series
-
2019
BN22
(Class
C)
200,000
g
BBCMS
Trust
4
.197
08/10/35
177,628‌
Series
-
2015
SRCH
(Class
A2)
1,250,000
g
BBCMS
Trust
4
.798
08/10/35
1,088,224‌
Series
-
2015
SRCH
(Class
C)
3,000,000
g,i
BBCMS
Trust
3
.811
02/15/53
2,220,506‌
Series
-
2020
C6
(Class
F5TA)
1,000,000
Benchmark
Mortgage
Trust
3
.419
08/15/52
864,076‌
Series
-
2019
B12
(Class
AS)
5,500,000
g,i
Benchmark
Mortgage
Trust
4
.029
03/15/62
3,826,888‌
Series
-
2019
B10
(Class
3CCA)
5,200,000
g
BMO
360A
3
.776
02/17/55
4,228,117‌
Series
-
2022
C1
(Class
360A)
3,500,000
g,i
BMO
360C
4
.070
02/17/55
2,070,992‌
Series
-
2022
C1
(Class
360C)
825,000
g
BWAY
Mortgage
Trust
2
.917
01/10/35
627,815‌
Series
-
2015
1740
(Class
A)
2,009,641
g,i
BX
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.034%
6
.181
10/15/36
1,998,077‌
Series
-
2019
XL
(Class
A)
4,250,000
g,i
BX
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.364%
6
.511
10/15/36
4,207,209‌
Series
-
2019
XL
(Class
C)
9,220,815
g,i
BX
Commercial
Mortgage
Trust
LIBOR
1
M
+
1.197%
6
.390
10/15/38
8,895,309‌
Series
-
2021
XL2
(Class
C)
12,000,000
g,i
BX
Commercial
Mortgage
Trust
SOFR
1
M
+
1.840%
6
.987
01/17/39
11,757,470‌
Series
-
2022
AHP
(Class
B)
4,250,000
g,i
BX
TRUST
SOFR
1
M
+
1.490%
6
.637
01/17/39
4,162,793‌
Series
-
2022
AHP
(Class
AS)
2,901,500
g,i
CCRC
Affordable
Multifamily
Housing
Mortgage
Trust
5
.683
06/25/34
2,624,060‌
Series
-
2017
Q005
(Class
B)
2,000,000
i
CD
Mortgage
Trust
3
.879
11/10/49
1,617,248‌
Series
-
2016
CD2
(Class
B)
1,000,000
g,i
Century
Plaza
Towers
3
.097
11/13/39
750,987‌
Series
-
2019
CPT
(Class
B)
5,000,000
i
Citigroup
Commercial
Mortgage
Trust
3
.758
04/10/48
4,629,641‌
Series
-
2015
GC29
(Class
B)
4,000,000
Citigroup
Commercial
Mortgage
Trust
3
.300
11/10/52
3,389,948‌
Series
-
2019
GC43
(Class
AS)
5,000,000
Citigroup
Commercial
Mortgage
Trust
3
.018
08/10/56
4,161,280‌
Series
-
2019
GC41
(Class
AS)
5,341,000
g,i
Cityline
Commercial
Mortgage
Trust
2
.871
11/10/31
4,982,018‌
Series
-
2016
CLNE
(Class
A)
3,315,000
g
COMM
Mortgage
Trust
4
.353
08/10/30
3,040,477‌
Series
-
2013
300P
(Class
A1)
4,375,000
g
COMM
Mortgage
Trust
3
.376
01/10/39
3,455,403‌
Series
-
2022
HC
(Class
C)
2,000,000
COMM
Mortgage
Trust
4
.701
03/10/47
1,938,755‌
Series
-
2014
UBS2
(Class
B)
2,158,000
g,i
COMM
Mortgage
Trust
4
.697
08/10/47
1,847,828‌
Series
-
2014
CR19
(Class
D)
2,000,000
i
COMM
Mortgage
Trust
4
.703
08/10/47
1,890,842‌
Series
-
2014
CR19
(Class
B)
216,658
COMM
Mortgage
Trust
3
.040
02/10/48
211,144‌
Series
-
2015
LC19
(Class
ASB)
3,500,000
g,i
COMM
Mortgage
Trust
4
.204
03/10/48
2,787,859‌
Series
-
2015
CR22
(Class
D)
2,000,000
i
COMM
Mortgage
Trust
4
.443
05/10/48
1,551,736‌
Series
-
2015
CR23
(Class
D)
360,000
i
COMM
Mortgage
Trust
3
.463
08/10/48
286,373‌
Series
-
2015
CR24
(Class
D)
217
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
1,000,000
COMM
Mortgage
Trust
3
.263
%
08/15/57
$
841,714‌
Series
-
2019
GC44
(Class
AM)
6,000,000
g,i
Commercial
Mortgage
Pass
Through
Certificates
4
.084
01/10/39
4,513,147‌
Series
-
2022
HC
(Class
D)
2,300,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
1.900%
6
.967
12/25/41
2,243,355‌
Series
-
2022
R01
(Class
1M2)
3,000,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.500%
9
.567
01/25/42
3,017,800‌
Series
-
2022
R02
(Class
2B1)
7,500,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.100%
8
.167
03/25/42
7,582,689‌
Series
-
2022
R04
(Class
1M2)
20,447,884
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.500%
8
.567
03/25/42
20,892,707‌
Series
-
2022
R03
(Class
1M2)
2,000,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.500%
6
.014
04/25/42
2,004,779‌
Series
-
2022
R05
(Class
2B1)
4,300,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.000%
8
.067
04/25/42
4,288,388‌
Series
-
2022
R05
(Class
2M2)
13,780,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.850%
8
.917
05/25/42
14,210,134‌
Series
-
2022
R06
(Class
1M2)
14,223,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.650%
9
.717
06/25/42
15,056,923‌
Series
-
2022
R07
(Class
1M2)
4,085,000
g,i
Connecticut
Avenue
Securities
Trust
SOFR
+
3.600%
8
.667
07/25/42
4,177,057‌
Series
-
2022
R08
(Class
1M2)
7,535,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.750%
9
.817
09/25/42
7,948,745‌
Series
-
2022
R09
(Class
2M2)
19,365,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.750%
8
.817
12/25/42
19,876,282‌
Series
-
2023
R01
(Class
1M2)
70,513
i
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
4
.030
11/20/34
65,852‌
Series
-
2004
HYB6
(Class
A2)
14,000,000
g
CPT
Mortgage
Trust
2
.865
11/13/39
11,298,830‌
Series
-
2019
CPT
(Class
A)
2,500,000
g,i
CPT
Mortgage
Trust
3
.097
11/13/39
1,727,728‌
Series
-
2019
CPT
(Class
C)
2,000,000
g,i
CPT
Mortgage
Trust
3
.097
11/13/39
1,243,672‌
Series
-
2019
CPT
(Class
E)
5,000,000
g,i
Credit
Suisse
Commercial
Mortgage
Trust
3
.854
11/10/32
3,937,986‌
Series
-
2017
CALI
(Class
B)
2,932,322
g,i
Credit
Suisse
Mortgage
Capital
Certificates
2
.405
10/25/66
2,371,369‌
Series
-
2021
NQM8
(Class
A3)
3,600,000
g,i
CSAIL
Commercial
Mortgage
Trust
3
.800
06/15/37
2,983,001‌
Series
-
2017
C8
(Class
85BB)
1,600,000
g,i
CSMC
Series
3
.388
10/25/59
1,379,735‌
Series
-
2019
NQM1
(Class
M1)
3,440,000
g,i
DBUBS
Mortgage
Trust
3
.648
10/10/34
2,762,177‌
Series
-
2017
BRBK
(Class
D)
102,725,000
g,i
DOLP
Trust
0
.665
05/10/41
3,904,382‌
Series
-
2021
NYC
(Class
X)
12,500,000
g,i
ELP
Commercial
Mortgage
Trust
LIBOR
1
M
+
1.320%
6
.514
11/15/38
12,098,433‌
Series
-
2021
ELP
(Class
C)
7,500,000
g,i
ELP
Commercial
Mortgage
Trust
LIBOR
1
M
+
2.118%
7
.312
11/15/38
7,212,197‌
Series
-
2021
ELP
(Class
E)
259,959
g,i
Flagstar
Mortgage
Trust
4
.013
10/25/47
228,723‌
Series
-
2017
2
(Class
B3)
11,833
g,i
Flagstar
Mortgage
Trust
4
.000
09/25/48
10,933‌
Series
-
2018
5
(Class
A11)
1,222,976
g,i
Flagstar
Mortgage
Trust
2
.500
04/25/51
949,506‌
Series
-
2021
2
(Class
A4)
3,808,940
g,i
Flagstar
Mortgage
Trust
2
.500
06/01/51
2,952,478‌
Series
-
2021
4
(Class
A21)
7,700,000
Freddie
Mac
Multiclass
Certificates
Series
1
.878
01/25/31
6,390,825‌
Series
-
2021
P009
(Class
A2)
Core
Impact
Bond
Fund
June
30,
2023
218
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,292,873
Freddie
Mac
Multiclass
Certificates
Series
1
.204
%
09/25/31
$
1,966,916‌
Series
-
2021
P011
(Class
A1)
7,324,000
i
Freddie
Mac
Multiclass
Certificates
Series
2
.852
02/25/32
6,271,644‌
Series
-
2022
P013
(Class
A2)
6,657,830
Freddie
Mac
Multifamily
ML
Certificates
1
.877
07/25/37
5,056,842‌
Series
-
2021
ML08
(Class
ML08)
39,758,059
i
Freddie
Mac
Multifamily
ML
Certificates
1
.780
11/25/37
4,890,639‌
Series
-
2021
ML08
(Class
XCA)
3,151,445
Freddie
Mac
Multifamily
ML
Certificates
1
.896
11/25/37
2,410,537‌
Series
-
2021
ML08
(Class
ML08)
9,975,797
i
Freddie
Mac
Multifamily
ML
Certificates
3
.650
11/25/38
8,933,287‌
Series
-
2022
ML14
(Class
A)
9,859,579
Freddie
Mac
Multifamily
ML
Certificates
2
.340
07/25/41
7,617,359‌
Series
-
2021
ML12
(Class
AUS)
3,500,000
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
3
.871
07/25/33
3,301,650‌
Series
-
2015
Q002
(Class
A2)
3,891,509
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1
.555
01/25/36
3,123,996‌
Series
-
2020
Q014
(Class
A1)
9,863,240
Freddie
Mac
Multifamily
Variable
Rate
Certificate
3
.150
10/15/36
8,491,721‌
Series
-
2022
M068
(Class
A)
1,735,000
Freddie
Mac
Multifamily
Variable
Rate
Certificate
4
.013
04/15/37
1,634,050‌
Series
-
2022
M069
(Class
A)
6,023,632
Freddie
Mac
Multifamily
Variable
Rate
Certificate
1
.761
09/15/38
4,845,797‌
Series
-
2020
M061
(Class
A)
7,647,359
Freddie
Mac
REMICS
3
.000
09/25/50
5,417,848‌
Series
-
2021
5160
(Class
ZG)
317,003
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
1.500%
6
.567
10/25/41
309,315‌
Series
-
2021
DNA6
(Class
M2)
2,590,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
2.500%
7
.567
01/25/42
2,509,889‌
Series
-
2022
DNA1
(Class
M2)
6,985,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
2.900%
7
.967
04/25/42
6,982,200‌
Series
-
2022
DNA3
(Class
M1B)
1,745,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
5.650%
8
.647
04/25/42
1,793,497‌
Series
-
2022
DNA3
(Class
B1)
490,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
4.350%
9
.417
04/25/42
505,466‌
Series
-
2022
DNA3
(Class
M2)
15,240,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.350%
8
.417
05/25/42
15,429,564‌
Series
-
2022
DNA4
(Class
M1B)
975,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.550%
8
.617
08/25/42
989,780‌
Series
-
2022
HQA3
(Class
M1B)
6,385,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.700%
8
.767
09/25/42
6,591,733‌
Series
-
2022
DNA6
(Class
M1B)
2,530,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.750%
9
.817
02/25/42
2,524,184‌
Series
-
2022
DNA2
(Class
B1)
1,325,000
g,i
GCT
Commercial
Mortgage
Trust
LIBOR
1
M
+
0.800%
5
.993
02/15/38
1,136,418‌
Series
-
2021
GCT
(Class
A)
2,500,000
g,i
GCT
Commercial
Mortgage
Trust
LIBOR
1
M
+
1.250%
6
.443
02/15/38
1,982,892‌
Series
-
2021
GCT
(Class
B)
2,188,000
g,i
GS
Mortgage
Securities
Corp
II
5
.067
03/10/33
1,921,315‌
Series
-
2018
GS10
(Class
WLSB)
1,404,818
g,i
GS
Mortgage
Securities
Trust
LIBOR
1
M
+
1.090%
6
.290
10/15/31
1,354,195‌
Series
-
2018
HART
(Class
A)
93,000
i
GS
Mortgage
Securities
Trust
4
.078
11/10/49
75,316‌
Series
-
2016
GS4
(Class
C)
29,077
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
4
.000
11/25/49
27,065‌
Series
-
2019
PJ2
(Class
A1)
76,077
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
4
.000
11/25/49
70,717‌
Series
-
2019
PJ2
(Class
A4)
429,052
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
01/25/51
360,674‌
Series
-
2020
PJ4
(Class
A4)
219
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
669,714
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
%
03/27/51
$
557,590‌
Series
-
2020
PJ5
(Class
A4)
917,613
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
2
.500
05/25/51
711,283‌
Series
-
2020
PJ6
(Class
A4)
49,681,577
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
0
.150
08/25/51
347,518‌
Series
-
2021
PJ3
(Class
AX1)
4,812,024
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
2
.500
10/25/51
3,736,004‌
Series
-
2021
PJ5
(Class
A4)
4,863,881
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
06/25/52
3,925,020‌
Series
-
2022
PJ2
(Class
A36)
2,030,028
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
09/25/52
1,638,178‌
Series
-
2022
PJ4
(Class
A36)
478,600
g,i
GS
Mortgage-Backed
Securities
Trust
3
.632
05/25/50
395,843‌
Series
-
2020
PJ1
(Class
B2)
1,023,331
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
07/25/51
793,229‌
Series
-
2021
PJ2
(Class
A4)
7,229,237
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
11/25/51
5,648,708‌
Series
-
2021
PJ6
(Class
A4)
9,162,154
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
01/25/52
7,101,992‌
Series
-
2021
PJ7
(Class
A4)
4,274,395
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
01/25/52
3,313,273‌
Series
-
2021
PJ8
(Class
A4)
1,976,154
g,i
GS
Mortgage-Backed
Securities
Trust
2
.713
01/25/52
1,457,099‌
Series
-
2021
PJ7
(Class
B2)
4,134,376
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
03/25/52
3,204,738‌
Series
-
2021
PJ10
(Class
A4)
3,460,489
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
05/01/52
2,951,600‌
Series
-
2022
PJ1
(Class
A8)
1,668,888
g,i
GS
Mortgage-Backed
Securities
Trust
2
.823
05/28/52
1,274,629‌
Series
-
2022
PJ1
(Class
B2)
4,431,753
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
10/25/52
3,576,305‌
Series
-
2022
PJ5
(Class
A36)
2,916,557
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
01/25/53
2,360,846‌
Series
-
2022
PJ6
(Class
A24)
4,804,187
g,i
GS
Mortgage-Backed
Securities
Trust
3
.500
02/25/53
4,068,269‌
Series
-
2023
PJ1
(Class
A24)
212,956
i
HarborView
Mortgage
Loan
Trust
LIBOR
1
M
+
0.620%
5
.777
08/19/45
195,436‌
Series
-
2005
11
(Class
2A1A)
3,500,000
g
Hudson
Yards
Mortgage
Trust
2
.835
08/10/38
3,147,733‌
Series
-
2016
10HY
(Class
A)
2,500,000
g,i
Hudson
Yards
Mortgage
Trust
3
.076
08/10/38
2,211,362‌
Series
-
2016
10HY
(Class
B)
5,750,000
g,i
Hudson
Yards
Mortgage
Trust
3
.076
08/10/38
5,008,700‌
Series
-
2016
10HY
(Class
C)
2,500,000
g,i
Hudson
Yards
Mortgage
Trust
3
.076
08/10/38
2,046,329‌
Series
-
2016
10HY
(Class
E)
11,650,000
g,i
Hudson
Yards
Mortgage
Trust
3
.558
07/10/39
9,109,695‌
Series
-
2019
30HY
(Class
D)
5,545,000
g,i
Hudson
Yards
Mortgage
Trust
3
.041
12/10/41
4,679,804‌
Series
-
2019
55HY
(Class
A)
5,000,000
g,i
Hudson
Yards
Mortgage
Trust
3
.041
12/10/41
3,444,222‌
Series
-
2019
55HY
(Class
E)
1,500,000
g,i
Hudson
Yards
Mortgage
Trust
3
.041
12/10/41
1,087,036‌
Series
-
2019
55HY
(Class
D)
9,452
i
Impac
CMB
Trust
LIBOR
1
M
+
0.660%
5
.810
03/25/35
8,827‌
Series
-
2004
11
(Class
2A1)
440,000
g,i
Imperial
Fund
Mortgage
Trust
3
.531
10/25/55
364,792‌
Series
-
2020
NQM1
(Class
M1)
5,300,000
g,i
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust
LIBOR
1
M
+
1.370%
6
.564
10/15/33
4,834,784‌
Series
-
2020
609M
(Class
A)
Core
Impact
Bond
Fund
June
30,
2023
220
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
1,600,000
g,i
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
4
.230
%
01/15/46
$
1,374,871‌
Series
-
2013
C13
(Class
D)
1,339,218
g,i
JP
Morgan
Mortgage
Trust
LIBOR
1
M
-
0.000%
6
.191
12/25/44
1,272,365‌
Series
-
2015
1
(Class
B1)
12,189
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/45
10,874‌
Series
-
2015
3
(Class
A19)
211,352
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/45
189,590‌
Series
-
2015
6
(Class
A13)
147,808
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/46
130,788‌
Series
-
2016
1
(Class
A13)
59,608
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/47
52,616‌
Series
-
2017
2
(Class
A13)
523,984
g,i
JP
Morgan
Mortgage
Trust
3
.500
09/25/48
453,538‌
Series
-
2018
3
(Class
A13)
337,974
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/48
294,839‌
Series
-
2018
4
(Class
A13)
1,175,607
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/48
1,010,830‌
Series
-
2018
5
(Class
A13)
749,071
g,i
JP
Morgan
Mortgage
Trust
3
.356
10/26/48
717,488‌
Series
-
2017
5
(Class
A2)
42,740
g,i
JP
Morgan
Mortgage
Trust
4
.000
01/25/49
39,324‌
Series
-
2018
8
(Class
A13)
78,715
g,i
JP
Morgan
Mortgage
Trust
4
.000
02/25/49
72,097‌
Series
-
2018
9
(Class
A13)
95,178
g,i
JP
Morgan
Mortgage
Trust
4
.000
05/25/49
87,606‌
Series
-
2019
1
(Class
A15)
59,182
g,i
JP
Morgan
Mortgage
Trust
4
.000
05/25/49
54,734‌
Series
-
2019
1
(Class
A3)
356,260
g,i
JP
Morgan
Mortgage
Trust
LIBOR
1
M
+
0.950%
6
.088
10/25/49
344,503‌
Series
-
2019
INV1
(Class
A11)
844,310
g,i
JP
Morgan
Mortgage
Trust
3
.833
06/25/50
713,565‌
Series
-
2020
1
(Class
B2)
16,405,369
g,i
JP
Morgan
Mortgage
Trust
0
.143
07/25/51
111,440‌
Series
-
2021
3
(Class
AX1)
11,677,666
g,i
JP
Morgan
Mortgage
Trust
0
.132
08/25/51
73,577‌
Series
-
2021
4
(Class
AX1)
1,317,187
g,i
JP
Morgan
Mortgage
Trust
2
.882
08/25/51
1,005,450‌
Series
-
2021
4
(Class
B2)
22,321,685
g,i
JP
Morgan
Mortgage
Trust
0
.137
10/25/51
144,767‌
Series
-
2021
6
(Class
AX1)
2,896,398
g,i
JP
Morgan
Mortgage
Trust
2
.500
10/25/51
2,248,733‌
Series
-
2021
6
(Class
A15)
2,012,266
g,i
JP
Morgan
Mortgage
Trust
2
.500
11/25/51
1,562,302‌
Series
-
2021
7
(Class
A15)
2,552,205
g,i
JP
Morgan
Mortgage
Trust
2
.500
12/25/51
1,981,505‌
Series
-
2021
8
(Class
A15)
1,035,315
g,i
JP
Morgan
Mortgage
Trust
2
.500
12/25/51
802,518‌
Series
-
2021
10
(Class
A15)
3,524,602
g,i
JP
Morgan
Mortgage
Trust
2
.500
01/25/52
2,732,075‌
Series
-
2021
11
(Class
A15)
987,550
g,i
JP
Morgan
Mortgage
Trust
2
.500
02/25/52
765,494‌
Series
-
2021
12
(Class
A15)
1,662,552
g,i
JP
Morgan
Mortgage
Trust
2
.500
05/25/52
1,288,718‌
Series
-
2021
14
(Class
A15)
1,082,321
g,i
JP
Morgan
Mortgage
Trust
2
.927
05/25/52
821,883‌
Series
-
2021
LTV2
(Class
A3)
5,250,235
g,i
JP
Morgan
Mortgage
Trust
2
.500
06/25/52
4,069,690‌
Series
-
2021
15
(Class
A15)
5,699,201
g,i
JP
Morgan
Mortgage
Trust
2
.500
07/25/52
4,417,703‌
Series
-
2022
1
(Class
A15)
221
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,793,017
g,i
JP
Morgan
Mortgage
Trust
3
.250
%
07/25/52
$
2,338,607‌
Series
-
2022
LTV1
(Class
A1)
1,964,123
g,i
JP
Morgan
Mortgage
Trust
3
.000
08/25/52
1,589,885‌
Series
-
2022
2
(Class
A25)
8,961,258
g,i
JP
Morgan
Mortgage
Trust
3
.000
08/25/52
7,231,493‌
Series
-
2022
3
(Class
A25)
5,636,604
g,i
JP
Morgan
Mortgage
Trust
3
.500
09/25/52
4,751,222‌
Series
-
2022
LTV2
(Class
A6)
4,562,092
g,i
JP
Morgan
Mortgage
Trust
3
.000
10/25/52
3,692,846‌
Series
-
2022
4
(Class
A17A)
3,874,687
g,i
JP
Morgan
Mortgage
Trust
3
.000
11/25/52
3,136,417‌
Series
-
2022
6
(Class
A17A)
2,819,630
g,i
JP
Morgan
Mortgage
Trust
3
.000
12/25/52
2,282,387‌
Series
-
2022
7
(Class
1A17)
2,238,295
g,i
JP
Morgan
Mortgage
Trust
5
.000
06/25/53
2,088,521‌
Series
-
2023
1
(Class
A15A)
2,314,492
g,i
JP
Morgan
Mortgage
Trust
5
.500
06/25/53
2,207,085‌
Series
-
2023
1
(Class
A15B)
2,400,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.629
09/15/47
2,232,496‌
Series
-
2014
C23
(Class
C)
630,341
g
Ladder
Capital
Commercial
Mortgage
Securities
3
.575
02/15/36
577,749‌
Series
-
2013
GCP
(Class
A1)
10,000,000
g
Liberty
Street
Trust
3
.597
02/10/36
8,968,269‌
Series
-
2016
225L
(Class
A)
4,000,000
g,i
MAD
Mortgage
Trust
3
.294
08/15/34
3,681,108‌
Series
-
2017
330M
(Class
A)
2,350,000
g,i
Manhattan
West
2
.413
09/10/39
1,907,428‌
Series
-
2020
1MW
(Class
D)
2,250,000
g,i
MFT
Trust
3
.392
08/10/40
1,437,648‌
Series
-
2020
B6
(Class
B)
178,847
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3
.069
02/15/48
175,062‌
Series
-
2015
C20
(Class
ASB)
3,300,000
g,i
Morgan
Stanley
Capital
I
Trust
2
.509
04/05/42
2,500,664‌
Series
-
2020
CNP
(Class
A)
106,067
i
Morgan
Stanley
Capital
I
Trust
6
.282
12/12/49
44,986‌
Series
-
2007
IQ16
(Class
AJFX)
1,119,104
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
07/25/51
960,211‌
Series
-
2021
4
(Class
A4)
3,445,813
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
08/25/51
2,671,002‌
Series
-
2021
5
(Class
A9)
3,435,693
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
09/25/51
2,948,532‌
Series
-
2021
6
(Class
A4)
2,225,032
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
09/25/51
1,724,721‌
Series
-
2021
6
(Class
A9)
1,500,000
g,i
MSDB
Trust
3
.427
07/11/39
1,278,861‌
Series
-
2017
712F
(Class
A)
3,450,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
3
.917
11/15/32
3,206,481‌
Series
-
2018
285M
(Class
A)
4,250,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
2.279%
7
.426
07/15/36
3,827,260‌
Series
-
2019
MILE
(Class
C)
4,000,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
4.329%
9
.476
07/15/36
2,940,983‌
Series
-
2019
MILE
(Class
F)
400,064
g,i
New
Residential
Mortgage
Loan
Trust
2
.797
09/25/59
362,186‌
Series
-
2019
NQM4
(Class
A3)
425,000
g,i
New
Residential
Mortgage
Loan
Trust
2
.986
09/25/59
337,015‌
Series
-
2019
NQM4
(Class
M1)
43,571
i
New
York
Mortgage
Trust
LIBOR
1
M
+
0.480%
5
.630
02/25/36
42,676‌
Series
-
2005
3
(Class
A1)
4,602,171
g,i
OBX
Trust
2
.500
07/25/51
3,567,346‌
Series
-
2021
J2
(Class
A19)
Core
Impact
Bond
Fund
June
30,
2023
222
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
251,010
g,i
OBX
Trust
LIBOR
1
M
+
0.650%
5
.800
%
06/25/57
$
238,095‌
Series
-
2018
1
(Class
A2)
1,317,088
g,i
Oceanview
Mortgage
Trust
2
.500
05/25/51
1,022,573‌
Series
-
2021
1
(Class
A19)
1,423,152
g,i
Oceanview
Mortgage
Trust
4
.500
11/25/52
1,310,143‌
Series
-
2022
1
(Class
A1)
14,500,000
g
One
Bryant
Park
Trust
2
.516
09/15/54
11,807,839‌
Series
-
2019
OBP
(Class
A)
2,750,000
g
One
Market
Plaza
Trust
3
.614
02/10/32
2,545,968‌
Series
-
2017
1MKT
(Class
A)
1,000,000
g
One
Market
Plaza
Trust
3
.845
02/10/32
895,773‌
Series
-
2017
1MKT
(Class
B)
4,000,000
g
One
Market
Plaza
Trust
4
.016
02/10/32
3,443,573‌
Series
-
2017
1MKT
(Class
C)
4,460,027
g,i
RCKT
Mortgage
Trust
2
.500
09/25/51
3,457,165‌
Series
-
2021
4
(Class
A21)
6,316,644
g,i
RCKT
Mortgage
Trust
2
.500
02/25/52
4,918,175‌
Series
-
2022
2
(Class
A22)
4,498,745
g,i
RCKT
Mortgage
Trust
3
.500
06/25/52
3,781,608‌
Series
-
2022
4
(Class
A22)
178,888
g,i
Sequoia
Mortgage
Trust
3
.500
05/25/45
160,400‌
Series
-
2015
2
(Class
A1)
50,435
g,i
Sequoia
Mortgage
Trust
3
.500
06/25/46
44,830‌
Series
-
2016
1
(Class
A19)
209,468
g,i
Sequoia
Mortgage
Trust
3
.726
09/25/47
189,462‌
Series
-
2017
6
(Class
B1)
12,685
g,i
Sequoia
Mortgage
Trust
3
.500
03/25/48
11,240‌
Series
-
2018
3
(Class
A1)
19,924
g,i
Sequoia
Mortgage
Trust
4
.000
09/25/48
18,345‌
Series
-
2018
7
(Class
A19)
36,613
g,i
Sequoia
Mortgage
Trust
4
.000
06/25/49
33,539‌
Series
-
2019
2
(Class
A19)
170,907
g,i
Sequoia
Mortgage
Trust
3
.500
12/25/49
151,380‌
Series
-
2019
5
(Class
A19)
1,512,163
g,i
Sequoia
Mortgage
Trust
3
.000
04/25/50
1,256,531‌
Series
-
2020
3
(Class
A19)
2,466,333
g,i
Sequoia
Mortgage
Trust
2
.500
06/25/51
1,914,835‌
Series
-
2021
4
(Class
A19)
343,589
g,i
Shellpoint
Co-Originator
Trust
3
.500
10/25/47
302,481‌
Series
-
2017
2
(Class
A1)
12,900,000
g
SLG
Office
Trust
2
.585
07/15/41
10,371,145‌
Series
-
2021
OVA
(Class
A)
66,739
g,i
Structured
Agency
Credit
Risk
Debt
Note
(STACR)
3
.783
02/25/48
61,842‌
Series
-
2018
SPI1
(Class
M2)
1,125,000
g,i
STWD
Mortgage
Trust
LIBOR
1
M
+
1.257%
6
.450
11/15/36
1,101,104‌
Series
-
2021
LIH
(Class
AS)
2,000,000
g,i
STWD
Mortgage
Trust
LIBOR
1
M
+
1.656%
6
.849
11/15/36
1,956,767‌
Series
-
2021
LIH
(Class
B)
2,050,000
g,i
STWD
Mortgage
Trust
LIBOR
1
M
+
1.955%
7
.148
11/15/36
1,988,560‌
Series
-
2021
LIH
(Class
C)
4,000,000
g
SUMIT
Mortgage
Trust
2
.789
02/12/41
3,102,056‌
Series
-
2022
BVUE
(Class
A)
925,000
g,i
Verus
Securitization
Trust
3
.207
11/25/59
807,391‌
Series
-
2019
4
(Class
M1)
408,422
g
Verus
Securitization
Trust
1
.733
05/25/65
369,592‌
Series
-
2020
5
(Class
A3)
3,128,900
g,i
Verus
Securitization
Trust
2
.240
10/25/66
2,554,059‌
Series
-
2021
7
(Class
A3)
2,711,000
g
VNDO
Trust
3
.805
01/10/35
2,494,118‌
Series
-
2016
350P
(Class
A)
223
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
3,000,000
g,i
VNDO
Trust
4
.033
%
01/10/35
$
2,715,295‌
Series
-
2016
350P
(Class
B)
1,100,000
Wells
Fargo
Commercial
Mortgage
Trust
3
.808
12/15/47
1,033,496‌
Series
-
2014
LC18
(Class
AS)
436,551
Wells
Fargo
Commercial
Mortgage
Trust
2
.514
08/15/49
415,674‌
Series
-
2016
BNK1
(Class
ASB)
384,399
Wells
Fargo
Commercial
Mortgage
Trust
3
.185
03/15/59
369,757‌
Series
-
2016
C33
(Class
ASB)
25,539
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
4
.000
04/25/49
23,899‌
Series
-
2019
2
(Class
A17)
445,491
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.000
07/25/50
372,042‌
Series
-
2020
4
(Class
A17)
5,690,920
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
2
.500
06/25/51
4,411,284‌
Series
-
2021
2
(Class
A17)
1,472,015
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
2
.500
12/25/51
1,141,024‌
Series
-
2022
2
(Class
A18)
650,000
i
WFRBS
Commercial
Mortgage
Trust
4
.996
12/15/46
611,795‌
Series
-
2013
C18
(Class
C)
118,754
g,i
WinWater
Mortgage
Loan
Trust
3
.919
06/20/44
98,585‌
Series
-
2014
1
(Class
B4)
2,984,740
g,i
Woodward
Capital
Management
3
.000
05/25/52
2,416,038‌
Series
-
2022
3
(Class
A21)
TOTAL
OTHER
MORTGAGE
BACKED
648,307,705‌
TOTAL
STRUCTURED
ASSETS
924,219,652‌
(Cost
$1,060,389,644)
SHARES
REFERENCERATE
&
SPREAD
PREFERRED
STOCKS
-
0.5%
FINANCIAL
SERVICES
-
0
.0
%
126,248
e
Morgan
Stanley
3,277,398‌
TOTAL
FINANCIAL
SERVICES
3,277,398‌
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
0
.2
%
400,000
Brookfield
Property
Partners
LP
5,444,000‌
631,850
Brookfield
Property
Partners
LP
8,687,938‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
14,131,938‌
UTILITIES
-
0
.3
%
490,000
Brookfield
Infrastructure
Partners
LP
9,319,800‌
308,000
Brookfield
Renewable
Partners
LP
6,150,760‌
TOTAL
UTILITIES
15,470,560‌
TOTAL
PREFERRED
STOCKS
32,879,896‌
(Cost
$48,902,450)
TOTAL
LONG-TERM
INVESTMENTS
5,972,174,386‌
(Cost
$6,582,866,015)
PRINCIPAL
RATE
MATURITY
DATE
SHORT-TERM
INVESTMENTS
-
1.4%
REPURCHASE
AGREEMENT
-
1
.4
%
$
87,265,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
07/03/23
87,265,000‌
TOTAL
REPURCHASE
AGREEMENT
87,265,000‌
TOTAL
SHORT-TERM
INVESTMENTS
87,265,000‌
(Cost
$87,265,000)
Core
Impact
Bond
Fund
June
30,
2023
224
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Principal
denominated
in
U.S.
Dollars,
unless
otherwise
noted. 
SHARES
DESCRIPTION
RATE
EXP
VALUE
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
1.0%
57,386,614
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5
.110
%
$
57,386,614‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
57,386,614‌
(Cost
$57,386,614)
TOTAL
INVESTMENTS
-
100.9%
6,116,826,000‌
(Cost
$6,727,517,629)
OTHER
ASSETS
&
LIABILITIES,
NET
-
(0.9)%
(
52,808,096‌
)
NET
ASSETS
-
100.0%
$
6,064,017,904‌
AVG
Average
CLP
Chilean
Peso
CME
Chicago
Mercantile
Exchange
CCRC
Congregate
Care
Retirement
Center
D
Day
EUR
Euro
LIBOR
London
Interbank
Offered
Rate
M
Month
REMIC
Real
Estate
Mortgage
Investment
Conduit
SOFR
Secure
Overnight
Financing
Rate
For
fair
value
measurement
disclosure
purposes,
investment
classified
as
Level
3.
Perpetual
security
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$55,956,740.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
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
All
or
a
portion
of
these
securities
have
been
segregated
to
cover
collateral
requirements
on
mortgage
dollar
rolls.
q
In
default
r
Agreement
with
Fixed
Income
Clearing
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$87,265,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
2.625%
and
maturity
date
5/31/27,
valued
at
$89,010,390.
Forward
Foreign
Currency
Contracts
Currency
Purchased
Receive
Currency
Sold
Deliver
Counterparty
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
7,443,522
CLP
6,000,000,000
Bank
of
America,
N.A.
07/18/23
 $
(
21,116‌
)
$
6,518,324
EUR
5,919,432
Citibank
N.A.
07/14/23
 $
54,373‌
Total
 $
33,257‌
CLP
Chilean
Peso
EUR
Euro
Portfolio
of
Investments
Core
Plus
Bond
Fund
June
30,
2023
225
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
97.1%
BANK
LOAN
OBLIGATIONS
-
3.1%
AUTOMOBILES
&
COMPONENTS
-
0
.0
%
$
962,583
i
Gates
Global
LLC
SOFR
12
M
+
2.500%
7
.702
%
03/31/27
$
958,973‌
TOTAL
AUTOMOBILES
&
COMPONENTS
958,973‌
CAPITAL
GOODS
-
0
.1
%
492,513
i
Chariot
Buyer
LLC
SOFR
12
M
+
3.250%
8
.452
11/03/28
482,180‌
3,054
i
Proampac
PG
Borrower
LLC
LIBOR
1
M
+
4.000%
8
.580
11/03/25
3,027‌
774,087
i
Resideo
Funding,
Inc
LIBOR
4
M
+
2.250%
7
.600
02/11/28
772,635‌
331,818
i
SRAM
LLC
LIBOR
12
M
+
2.750%
7
.943
05/18/28
330,574‌
637,273
i
TransDigm,
Inc
SOFR
4
M
+
3.250%
8
.492
08/24/28
637,643‌
TOTAL
CAPITAL
GOODS
2,226,059‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.2
%
290,288
i
AlixPartners
LLP
SOFR
12
M
+
2.500%
7
.717
02/04/28
290,034‌
485,000
i
Amentum
Government
Services
Holdings
LLC
SOFR
12
M
+
4.000%
9
.217
01/29/27
478,937‌
545,875
i
Amentum
Government
Services
Holdings
LLC
SOFR
12
M
+
4.000%
9
.147
02/15/29
534,957‌
976,045
i
EAB
Global,
Inc
LIBOR
4
M
+
3.500%
8
.872
08/16/28
966,441‌
282,485
i
GFL
Environmental,
Inc
LIBOR
3
M
+
3.000%
3
.000
05/31/25
283,047‌
1,120,967
i
Prime
Security
Services
Borrower
LLC
LIBOR
3
M
+
2.750%
7
.608
09/23/26
1,122,049‌
997,500
i
Sedgwick
Claims
Management
Services,
Inc
SOFR
12
M
+
3.750%
8
.852
02/24/28
993,061‌
444,781
i
Spin
Holdco,
Inc
LIBOR
4
M
+
4.000%
9
.230
03/04/28
383,942‌
3,441,538
i
Trans
Union
LLC
SOFR
12
M
+
2.250%
7
.467
12/01/28
3,437,408‌
486,518
i
West
Technology
Group
LLC
SOFR
4
M
+
4.000%
9
.295
04/10/27
440,839‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
8,930,715‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.2
%
2,750,000
h,i
Emerson
Climate
Technologies,
Inc
SOFR
1
M
+
3.000%
3
.000
05/31/30
2,753,438‌
4,962,500
i
Flutter
Financing
BV
SOFR
4
M
+
3.250%
8
.753
07/22/28
4,977,437‌
603,247
h,i
LS
Group
OpCo
Acquisition
LLC
LIBOR
12
M
+
3.250%
8
.443
11/02/27
600,735‌
1,477,218
i
PetSmart,
Inc
SOFR
12
M
+
3.750%
8
.952
02/11/28
1,476,915‌
576,000
i
Staples,
Inc
LIBOR
4
M
+
5.000%
10
.299
04/16/26
494,461‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
10,302,986‌
CONSUMER
DURABLES
&
APPAREL
-
0
.1
%
982,500
i
Conair
Holdings
LLC
LIBOR
4
M
+
3.750%
9
.288
05/17/28
929,076‌
501,500
i
Crocs,
Inc
SOFR
12
M
+
3.500%
8
.892
02/20/29
503,238‌
868,826
i
Weber-Stephen
Products
LLC
SOFR
12
M
+
3.250%
8
.467
10/30/27
768,598‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
2,200,912‌
CONSUMER
SERVICES
-
0
.3
%
2,487,113
i
1011778
BC
ULC
LIBOR
12
M
+
1.750%
6
.943
11/19/26
2,473,633‌
397,975
i
Alterra
Mountain
Co
LIBOR
12
M
+
3.500%
8
.693
08/17/28
397,851‌
1,571,063
i
Caesars
Entertainment,
Inc
SOFR
12
M
+
3.250%
8
.452
02/06/30
1,573,113‌
437,214
i
Carnival
Corp
SOFR
12
M
+
3.250%
8
.467
10/18/28
434,117‌
270,000
i
Delta
2
Lux
Sarl
SOFR
12
M
+
3.000%
8
.102
01/15/30
270,371‌
453,863
i
Element
Materials
Technology
Group
US
Holdings,
Inc
CME
Term
SOFR
1
Month
+
4.250%
8
.930
04/12/29
445,920‌
208,950
i
Element
Materials
Technology
Group
US
Holdings,
Inc
SOFR
4
M
+
4.250%
9
.592
06/22/29
205,294‌
1,960,174
i
Fertitta
Entertainment
LLC
SOFR
12
M
+
4.000%
9
.102
01/27/29
1,938,328‌
478,848
i
IRB
Holding
Corp
SOFR
12
M
+
3.000%
8
.202
12/15/27
476,154‌
728,982
i
KFC
Holding
Co
LIBOR
12
M
+
1.750%
6
.896
03/15/28
724,152‌
643,824
i
Life
Time,
Inc
CME
Term
SOFR
1
Month
+
4.750%
9
.800
01/15/26
644,731‌
254,641
h,i
Motion
Finco
LLC
LIBOR
1
M
+
3.250%
0
.000
11/04/26
252,811‌
307,395
i
Penn
National
Gaming,
Inc
SOFR
12
M
+
2.750%
7
.952
05/03/29
306,786‌
Core
Plus
Bond
Fund
June
30,
2023
226
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
SERVICES—continued
$
1,470,113
i
Sophia
LP
LIBOR
1
M
+
3.750%
8
.230
%
10/07/27
$
1,456,639‌
TOTAL
CONSUMER
SERVICES
11,599,900‌
ENERGY
-
0
.0
%
193,674
i
DT
Midstream,
Inc
SOFR
4
M
+
2.000%
7
.356
06/26/28
194,098‌
746,144
i
Oryx
Midstream
Services
Permian
Basin
LLC
SOFR
12
M
+
3.250%
8
.539
10/05/28
745,961‌
TOTAL
ENERGY
940,059‌
FINANCIAL
SERVICES
-
0
.1
%
360,303
i
Lions
Gate
Capital
Holdings
LLC
SOFR
12
M
+
2.250%
7
.452
03/24/25
359,629‌
1,786,176
h,i
Motion
Finco
LLC
LIBOR
3
M
+
3.250%
3
.250
11/12/26
1,773,342‌
TOTAL
FINANCIAL
SERVICES
2,132,971‌
FOOD,
BEVERAGE
&
TOBACCO
-
0
.0
%
601,970
i
Arterra
Wines
Canada,
Inc
SOFR
4
M
+
3.500%
9
.003
11/24/27
586,421‌
582,001
i
Froneri
US,
Inc
SOFR
12
M
+
2.250%
7
.452
01/29/27
579,746‌
1,060
i
Hearthside
Food
Solutions
LLC
LIBOR
3
M
+
3.688%
9
.269
05/31/25
936‌
307,714
i
Triton
Water
Holdings,
Inc
LIBOR
4
M
+
3.500%
8
.659
03/31/28
298,243‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
1,465,346‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
0
.3
%
4,197,530
i
Bausch
&
Lomb
Corp
SOFR
4
M
+
3.250%
8
.592
05/10/27
4,082,098‌
1
i
Da
Vinci
Purchaser
Corp
LIBOR
1
M
+
4.000%
8
.953
11/26/26
1‌
600,736
i
Global
Medical
Response,
Inc
LIBOR
12
M
+
4.250%
9
.439
10/02/25
340,918‌
2,984,887
i
ICU
Medical,
Inc
SOFR
4
M
+
2.500%
7
.892
01/08/29
2,958,769‌
1,886,500
i
Onex
TSG
Intermediate
Corp
SOFR
4
M
+
4.750%
10
.057
02/28/28
1,686,059‌
1,000,000
i
Select
Medical
Corp
SOFR
12
M
+
2.500%
7
.702
03/06/25
999,125‌
2,500,000
h,i
Surgery
Center
Holdings,
Inc
LIBOR
12
M
+
3.750%
8
.896
08/31/26
2,499,712‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
12,566,682‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.1
%
609,000
i
Energizer
Holdings,
Inc
SOFR
12
M
+
2.250%
7
.442
12/22/27
606,719‌
2,281,719
i
Kronos
Acquisition
Holdings,
Inc
LIBOR
12
M
+
3.750%
9
.253
12/22/26
2,228,419‌
1,919,121
i
Kronos
Acquisition
Holdings,
Inc
CME
Term
SOFR
4
Month
+
6.000%
11
.375
12/22/26
1,887,935‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
4,723,073‌
INSURANCE
-
0
.1
%
211,726
i
Acrisure
LLC
LIBOR
12
M
+
3.500%
8
.693
02/15/27
206,073‌
455,890
i
AssuredPartners,
Inc
SOFR
12
M
+
3.500%
8
.717
02/12/27
452,993‌
382,913
i
AssuredPartners,
Inc
SOFR
12
M
+
3.500%
8
.717
02/12/27
379,723‌
729,652
i
Asurion
LLC
LIBOR
12
M
+
3.250%
8
.788
12/23/26
704,297‌
425,000
i
Asurion
LLC
CME
Term
SOFR
12
Month
+
5.250%
10
.452
01/31/28
363,243‌
327,773
i
HUB
International
Ltd
LIBOR
6
M
+
3.250%
8
.414
04/25/25
328,889‌
1,989,975
i
USI,
Inc
SOFR
4
M
+
3.750%
8
.992
11/22/29
1,989,796‌
TOTAL
INSURANCE
4,425,014‌
MATERIALS
-
0
.2
%
671,864
i
Asplundh
Tree
Expert
LLC
SOFR
12
M
+
1.750%
6
.952
09/07/27
670,920‌
631,998
i
Berry
Global,
Inc
LIBOR
12
M
+
1.750%
6
.972
07/01/26
632,004‌
1,629,993
i
Clydesdale
Acquisition
Holdings,
Inc
SOFR
12
M
+
4.175%
9
.377
04/13/29
1,607,099‌
199,500
i
H.B.
Fuller
Co
SOFR
12
M
+
2.500%
7
.602
02/15/30
200,569‌
759,500
i
Kloeckner
Pentaplast
of
America,
Inc
SOFR
2M
+
4.725%
10
.104
02/12/26
726,747‌
441,203
i
Messer
Industries
USA,
Inc
SOFR
4
M
+
2.500%
8
.003
03/02/26
441,492‌
339,152
i
Quikrete
Holdings,
Inc
SOFR
12
M
+
2.625%
7
.842
02/01/27
338,923‌
281,399
i
Reynolds
Group
Holdings,
Inc
SOFR
12
M
+
3.250%
8
.467
02/05/26
281,638‌
392,995
i
TricorBraun
Holdings,
Inc
SOFR
12
M
+
3.250%
8
.467
03/03/28
383,416‌
291,490
i
Tronox
Finance
LLC
LIBOR
12
M
+
2.250%
7
.443
03/10/28
290,251‌
1,439,416
i
Zekelman
Industries,
Inc
SOFR
12
M
+
2.000%
7
.197
01/24/27
1,431,420‌
TOTAL
MATERIALS
7,004,479‌
227
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MEDIA
&
ENTERTAINMENT
-
0
.4
%
$
482,044
i
Altice
Financing
S.A.
LIBOR
4
M
+
2.750%
8
.010
%
01/31/26
$
476,922‌
195,000
i
Cablevision
Lightpath
LLC
LIBOR
12
M
+
3.250%
8
.443
11/30/27
188,267‌
2,000,000
h,i
Centuri
Group,
Inc
LIBOR
3
M
+
2.500%
2
.500
08/27/28
1,993,130‌
20,488
i
Cirque
Du
Soleil
Holding
USA
Newco,
Inc
LIBOR
3
M
+
1.000%
7
.000
11/24/27
20,379‌
262,995
i
City
Brewing
Co
LLC
LIBOR
4
M
+
3.500%
8
.760
04/05/28
173,577‌
1,703,598
i
CNT
Holdings
I
Corp
SOFR
4
M
+
3.500%
8
.459
11/08/27
1,699,126‌
734,134
i
CSC
Holdings
LLC
LIBOR
12
M
+
2.250%
7
.443
07/17/25
709,052‌
967,669
i,q
Diamond
Sports
Group
LLC
SOFR
12
M
+
5.250%
10
.496
08/24/26
34,672‌
674,000
i
DIRECTV
Financing
LLC
SOFR
12
M
+
5.000%
10
.217
08/02/27
660,426‌
959,298
i
INEOS
US
Petrochem
LLC
SOFR
12
M
+
2.750%
7
.967
01/29/26
958,459‌
2,779,924
i
Mozart
Borrower
LP
SOFR
12
M
+
3.250%
8
.352
10/23/28
2,751,249‌
3,482,443
i
Phoenix
Newco,
Inc
LIBOR
12
M
+
3.250%
8
.404
11/15/28
3,459,808‌
447,628
i
Rackspace
Technology
Global,
Inc
SOFR
12
M
+
2.750%
7
.996
02/15/28
207,751‌
1,005
i
Radiate
Holdco
LLC
SOFR
12
M
+
3.250%
8
.477
09/25/26
841‌
1,220,399
i
Ryan
Specialty
Group
LLC
SOFR
12
M
+
3.000%
8
.202
09/01/27
1,221,735‌
2,253
i
TK
Elevator
US
Newco,
Inc
LIBOR
2
M
+
3.500%
8
.602
07/30/27
2,238‌
455,309
i
Univision
Communications,
Inc
LIBOR
12
M
+
3.250%
8
.443
03/15/26
452,137‌
2,000,000
i
Virgin
Media
Bristol
LLC
LIBOR
12
M
+
2.500%
7
.693
01/31/28
1,985,880‌
TOTAL
MEDIA
&
ENTERTAINMENT
16,995,649‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
0
.2
%
1,639,442
i
Avantor,
Inc
SOFR
12
M
+
2.250%
7
.452
11/08/27
1,640,811‌
1,988,984
i
Elanco
Animal
Health
Inc
LIBOR
1
M
+
1.750%
6
.653
08/01/27
1,955,420‌
3,851,291
i
Jazz
Financing
Lux
Sarl
SOFR
12
M
+
3.500%
8
.864
05/05/28
3,850,252‌
1,516,779
h,i
Organon
&
Co
LIBOR
12
M
+
3.000%
8
.250
06/02/28
1,518,440‌
294,030
i
Perrigo
Investments
LLC
SOFR
12
M
+
2.250%
7
.452
04/20/29
292,192‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
9,257,115‌
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
0
.0
%
264,308
i
Cushman
&
Wakefield
plc
SOFR
12
M
+
2.750%
7
.967
08/21/25
262,491‌
333,387
i
Cushman
&
Wakefield
US
Borrower
LLC
SOFR
1
M
+
3.250%
8
.332
01/31/30
323,802‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
586,293‌
SOFTWARE
&
SERVICES
-
0
.5
%
2,982,434
i
Boxer
Parent
Co,
Inc
SOFR
12
M
+
3.750%
8
.967
10/02/25
2,962,214‌
741,044
i
Camelot
Finance
S.A.
SOFR
12
M
+
3.000%
8
.217
10/30/26
740,858‌
994,885
i
Epicor
Software
Corp
SOFR
12
M
+
3.250%
8
.467
07/30/27
983,882‌
839,375
i
Informatica
LLC
LIBOR
12
M
+
2.750%
8
.000
10/27/28
839,635‌
1,994,962
i
Instructure
Holdings,
Inc
LIBOR
4
M
+
2.750%
7
.852
10/30/28
1,998,713‌
502,920
i
Light
&
Wonder,
Inc
SOFR
12
M
+
3.000%
8
.248
04/14/29
503,038‌
1,117
i
Magenta
Buyer
LLC
LIBOR
4
M
+
4.750%
10
.030
07/27/28
844‌
4,270,747
i
NortonLifeLock,
Inc
SOFR
12
M
+
2.000%
7
.202
09/12/29
4,254,753‌
4,378,000
i
Open
Text
Corp
SOFR
12
M
+
3.500%
8
.702
01/31/30
4,402,626‌
116,400
i
Presidio
Holdings,
Inc
SOFR
4
M
+
3.500%
8
.702
01/22/27
116,022‌
466,688
i
RealPage,
Inc
SOFR
12
M
+
3.000%
8
.217
04/24/28
457,179‌
2,008,840
i
SS&C
Technologies,
Inc
SOFR
12
M
+
2.250%
7
.452
03/22/29
2,005,495‌
3,027,709
i
SS&C
Technologies,
Inc
CME
Term
SOFR
12
Month
+
2.250%
7
.452
03/22/29
3,022,668‌
2,111,795
i
UKG,
Inc
SOFR
4
M
+
3.250%
8
.271
05/04/26
2,075,715‌
TOTAL
SOFTWARE
&
SERVICES
24,363,642‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
0
.0
%
423,937
i
Ahead
DB
Holdings
LLC
SOFR
4
M
+
3.750%
9
.092
10/18/27
397,138‌
264,463
i
Ingram
Micro,
Inc
LIBOR
4
M
+
3.500%
9
.038
06/30/28
263,969‌
450,000
i
Match
Group
Holdings
II
LLC
LIBOR
4
M
+
1.750%
7
.264
02/13/27
450,000‌
394,592
i
MLN
US
Holdco
LLC
LIBOR
6
M
+
4.500%
4
.500
11/30/25
94,702‌
247,119
i
MLN
US
Holdco
LLC
5
.082
10/18/27
124,178‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
1,329,987‌
TELECOMMUNICATION
SERVICES
-
0
.0
%
139,626
i
Avaya,
Inc
SOFR
4
M
+
8.500%
13
.544
08/01/28
120,916‌
481,094
i
CommScope,
Inc
SOFR
12
M
+
3.250%
8
.467
04/06/26
461,910‌
Core
Plus
Bond
Fund
June
30,
2023
228
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TELECOMMUNICATION
SERVICES—continued
$
939,991
i
SFR
Group
S.A.
LIBOR
4
M
+
3.688%
8
.948
%
01/31/26
$
889,467‌
623,553
i
Zayo
Group
Holdings,
Inc
SOFR
12
M
+
3.000%
8
.217
03/09/27
491,671‌
TOTAL
TELECOMMUNICATION
SERVICES
1,963,964‌
TRANSPORTATION
-
0
.2
%
550,838
i
Air
Canada
LIBOR
4
M
+
3.500%
8
.839
08/11/28
551,576‌
750,000
i
American
Airlines,
Inc
LIBOR
4
M
+
4.750%
10
.000
04/20/28
767,010‌
374,300
i
CHG
Healthcare
Services,
Inc
LIBOR
12
M
+
3.250%
8
.443
09/29/28
372,943‌
947,755
i
Genesee
&
Wyoming,
Inc
SOFR
4
M
+
2.000%
7
.342
12/30/26
948,002‌
985,000
i
Gulf
Finance
LLC
SOFR
12
M
+
6.750%
11
.996
08/25/26
960,513‌
2,500,000
h,i
Kestrel
Bidco,
Inc
SOFR
4
M
+
3.000%
8
.251
12/11/26
2,431,425‌
380,000
i
Mileage
Plus
Holdings
LLC
LIBOR
4
M
+
5.250%
10
.764
06/21/27
395,437‌
247,500
i
SkyMiles
IP
Ltd
SOFR
4
M
+
3.750%
8
.798
10/20/27
257,400‌
780,000
i
United
Airlines,
Inc
LIBOR
4
M
+
3.750%
9
.292
04/21/28
780,870‌
383,123
i
XPO,
Inc
CME
Term
SOFR
1
Month
+
2.000%
0
.000
05/24/28
384,937‌
TOTAL
TRANSPORTATION
7,850,113‌
UTILITIES
-
0
.1
%
1,000,339
h,i
BroadStreet
Partners,
Inc
SOFR
12
M
+
2.750%
7
.967
01/27/27
989,451‌
354,197
i
BroadStreet
Partners,
Inc
SOFR
12
M
+
2.750%
7
.967
01/27/27
351,541‌
2,000,000
i
BroadStreet
Partners,
Inc
SOFR
12
M
+
4.000%
9
.160
01/27/29
1,992,500‌
546,617
i
Covanta
Holding
Corp
SOFR
12
M
+
2.500%
7
.602
11/30/28
542,673‌
41,463
i
Covanta
Holding
Corp
CME
Term
SOFR
12
Month
+
2.500%
7
.602
11/30/28
41,164‌
1,927,316
i
Gopher
Resource
LLC
LIBOR
4
M
+
3.250%
8
.981
03/06/25
1,594,854‌
265,000
h,i
Talen
Energy
Supply
LLC
SOFR
1
M
+
4.500%
4
.500
05/17/30
264,614‌
327,000
h,i
Talen
Energy
Supply
LLC
SOFR
1
M
+
4.500%
9
.590
05/17/30
326,524‌
224,542
i
Utz
Quality
Foods
LLC
SOFR
12
M
+
3.000%
8
.217
01/20/28
224,495‌
TOTAL
UTILITIES
6,327,816‌
TOTAL
BANK
LOAN
OBLIGATIONS
138,151,748‌
(Cost
$140,737,452)
CORPORATE
BONDS
-
38
.9
%
AUTOMOBILES
&
COMPONENTS
-
1
.5
%
4,500,000
g
Adient
Global
Holdings
Ltd
4
.875
08/15/26
4,274,801‌
2,060,000
g
Clarios
Global
LP
6
.750
05/15/28
2,052,795‌
575,000
Dana,
Inc
5
.375
11/15/27
544,675‌
350,000
e
Dana,
Inc
5
.625
06/15/28
328,971‌
325,000
Dana,
Inc
4
.250
09/01/30
270,574‌
1,000,000
e
Ford
Motor
Co
7
.450
07/16/31
1,065,583‌
1,755,000
Ford
Motor
Co
3
.250
02/12/32
1,380,631‌
2,635,000
e
Ford
Motor
Co
6
.100
08/19/32
2,553,726‌
1,140,000
Ford
Motor
Credit
Co
LLC
5
.584
03/18/24
1,131,959‌
4,045,000
Ford
Motor
Credit
Co
LLC
6
.950
03/06/26
4,066,434‌
2,000,000
Ford
Motor
Credit
Co
LLC
7
.350
11/04/27
2,042,240‌
4,525,000
Ford
Motor
Credit
Co
LLC
7
.350
03/06/30
4,621,120‌
1,400,000
Ford
Motor
Credit
Co
LLC
4
.000
11/13/30
1,196,417‌
4,900,000
e,g
Gates
Global
LLC
6
.250
01/15/26
4,821,621‌
2,500,000
General
Motors
Co
6
.125
10/01/25
2,517,076‌
1,800,000
General
Motors
Co
5
.400
10/15/29
1,755,094‌
3,325,000
General
Motors
Co
5
.200
04/01/45
2,836,300‌
2,000,000
General
Motors
Financial
Co,
Inc
2
.750
06/20/25
1,884,047‌
800,000
General
Motors
Financial
Co,
Inc
6
.050
10/10/25
801,399‌
6,600,000
General
Motors
Financial
Co,
Inc
5
.000
04/09/27
6,422,593‌
2,825,000
General
Motors
Financial
Co,
Inc
5
.850
04/06/30
2,800,319‌
3,200,000
General
Motors
Financial
Co,
Inc
2
.700
06/10/31
2,552,322‌
3,550,000
General
Motors
Financial
Co,
Inc
5
.700
N/A‡
3,116,345‌
229
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
AUTOMOBILES
&
COMPONENTS—continued
$
2,000,000
General
Motors
Financial
Co,
Inc
5
.750
%
N/A‡
$
1,627,500‌
5,000,000
Goodyear
Tire
&
Rubber
Co
5
.250
04/30/31
4,391,683‌
2,250,000
g,o
IHO
Verwaltungs
GmbH
4
.750
09/15/26
2,075,828‌
1,450,000
Magna
International,
Inc
3
.625
06/15/24
1,421,054‌
1,000,000
e,g
Nemak
SAB
de
C.V.
3
.625
06/28/31
780,040‌
750,000
g
ZF
North
America
Capital,
Inc
6
.875
04/14/28
759,513‌
TOTAL
AUTOMOBILES
&
COMPONENTS
66,092,660‌
BANKS
-
7
.9
%
1,525,000
g
Access
Bank
plc
6
.125
09/21/26
1,279,627‌
1,500,000
g
Akbank
T.A.S.
6
.800
06/22/31
1,361,433‌
4,000,000
e
Banco
Bilbao
Vizcaya
Argentaria
S.A.
6
.500
N/A‡
3,750,800‌
835,000
g
Banco
de
Credito
e
Inversiones
S.A.
2
.875
10/14/31
691,740‌
1,725,000
g
Banco
Industrial
S.A.
4
.875
01/29/31
1,581,620‌
3,000,000
g
Banco
Internacional
del
Peru
SAA
Interbank
4
.000
07/08/30
2,755,200‌
1,380,000
g
Banco
Mercantil
del
Norte
S.A.
6
.750
N/A‡
1,322,418‌
2,400,000
Banco
Santander
S.A.
5
.294
08/18/27
2,352,921‌
1,905,000
Banco
Santander
S.A.
3
.800
02/23/28
1,750,624‌
3,800,000
Banco
Santander
S.A.
4
.750
N/A‡
2,907,870‌
2,200,000
Banco
Santander
S.A.
7
.500
N/A‡
2,096,547‌
2,000,000
Bancolombia
S.A.
4
.625
12/18/29
1,702,500‌
2,000,000
g
Banistmo
S.A.
4
.250
07/31/27
1,851,069‌
4,000,000
g
Bank
Hapoalim
BM
3
.255
01/21/32
3,422,608‌
3,000,000
g
Bank
Leumi
Le-Israel
BM
3
.275
01/29/31
2,680,320‌
19,525,000
Bank
of
America
Corp
0
.810
10/24/24
19,200,281‌
22,795,000
Bank
of
America
Corp
2
.592
04/29/31
19,137,238‌
3,925,000
Bank
of
America
Corp
2
.572
10/20/32
3,196,914‌
4,750,000
Bank
of
America
Corp
2
.972
02/04/33
3,959,724‌
11,000,000
Bank
of
America
Corp
5
.288
04/25/34
10,897,769‌
4,400,000
Bank
of
America
Corp
3
.846
03/08/37
3,762,547‌
5,700,000
Bank
of
America
Corp
2
.676
06/19/41
4,002,220‌
2,850,000
Bank
of
America
Corp
4
.375
N/A‡
2,430,337‌
8,400,000
Bank
of
America
Corp
6
.100
N/A‡
8,328,600‌
3,000,000
Barclays
plc
3
.932
05/07/25
2,931,798‌
450,000
Barclays
plc
2
.279
11/24/27
395,848‌
2,225,000
Barclays
plc
3
.330
11/24/42
1,561,913‌
3,455,000
Barclays
plc
6
.125
N/A‡
3,028,308‌
2,500,000
Barclays
PLC
8
.000
N/A‡
2,362,250‌
3,300,000
g
BNP
Paribas
S.A.
2
.819
11/19/25
3,146,520‌
100,000
g
BNP
Paribas
S.A.
4
.375
05/12/26
95,965‌
2,150,000
g
BNP
Paribas
S.A.
1
.904
09/30/28
1,831,162‌
1,800,000
g
BNP
Paribas
S.A.
2
.159
09/15/29
1,498,938‌
6,600,000
g
BNP
Paribas
S.A.
2
.588
08/12/35
5,059,234‌
8,000,000
g
BNP
Paribas
S.A.
7
.750
N/A‡
7,743,200‌
5,895,000
Citigroup,
Inc
3
.200
10/21/26
5,517,973‌
2,805,000
Citigroup,
Inc
4
.300
11/20/26
2,684,571‌
695,000
Citigroup,
Inc
4
.450
09/29/27
663,606‌
2,135,000
Citigroup,
Inc
2
.572
06/03/31
1,781,266‌
5,000,000
Citigroup,
Inc
4
.910
05/24/33
4,838,276‌
11,800,000
Citigroup,
Inc
6
.270
11/17/33
12,524,723‌
2,575,000
Citigroup,
Inc
6
.174
05/25/34
2,597,434‌
1,750,000
e
Citigroup,
Inc
7
.375
N/A‡
1,737,147‌
2,500,000
Citigroup,
Inc
6
.300
N/A‡
2,431,250‌
5,000,000
Citigroup,
Inc
6
.250
N/A‡
4,920,150‌
2,400,000
Citigroup,
Inc
4
.000
N/A‡
2,049,000‌
3,700,000
Citigroup,
Inc
5
.000
N/A‡
3,453,728‌
1,075,000
g
Cooperatieve
Rabobank
UA
1
.339
06/24/26
983,030‌
4,950,000
Cooperatieve
Rabobank
UA
3
.750
07/21/26
4,621,407‌
4,800,000
g
Credit
Agricole
S.A.
8
.125
N/A‡
4,807,181‌
1,525,000
g
DBS
Group
Holdings
Ltd
4
.520
12/11/28
1,513,760‌
2,450,000
Discover
Bank
2
.450
09/12/24
2,320,194‌
Core
Plus
Bond
Fund
June
30,
2023
230
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
800,000
Discover
Bank
4
.250
%
03/13/26
$
756,161‌
1,625,000
Discover
Bank
3
.450
07/27/26
1,495,669‌
1,375,000
Discover
Bank
2
.700
02/06/30
1,109,330‌
2,500,000
g
Grupo
Aval
Ltd
4
.375
02/04/30
1,961,337‌
2,160,000
g
Hana
Bank
3
.500
N/A‡
1,926,944‌
1,300,000
HSBC
Holdings
plc
3
.900
05/25/26
1,238,768‌
4,325,000
HSBC
Holdings
plc
4
.292
09/12/26
4,159,395‌
2,250,000
HSBC
Holdings
plc
2
.013
09/22/28
1,928,033‌
3,750,000
HSBC
Holdings
plc
7
.390
11/03/28
3,957,687‌
1,700,000
HSBC
Holdings
plc
2
.206
08/17/29
1,422,164‌
2,200,000
HSBC
Holdings
plc
3
.973
05/22/30
1,975,564‌
4,800,000
HSBC
Holdings
plc
8
.000
N/A‡
4,765,224‌
990,000
Huntington
Bancshares,
Inc
4
.000
05/15/25
948,961‌
4,000,000
Huntington
Bancshares,
Inc
5
.625
N/A‡
3,574,448‌
1,100,000
ING
Groep
NV
3
.950
03/29/27
1,041,706‌
3,000,000
g
Intercorp
Financial
Services,
Inc
4
.125
10/19/27
2,694,372‌
660,000
JPMorgan
Chase
&
Co
3
.900
07/15/25
643,382‌
350,000
JPMorgan
Chase
&
Co
3
.200
06/15/26
333,501‌
6,325,000
JPMorgan
Chase
&
Co
4
.323
04/26/28
6,105,112‌
7,805,000
JPMorgan
Chase
&
Co
3
.702
05/06/30
7,152,726‌
4,275,000
JPMorgan
Chase
&
Co
1
.953
02/04/32
3,406,275‌
2,750,000
JPMorgan
Chase
&
Co
2
.525
11/19/41
1,891,633‌
12,350,000
JPMorgan
Chase
&
Co
3
.157
04/22/42
9,323,009‌
1,250,000
JPMorgan
Chase
&
Co
4
.260
02/22/48
1,078,555‌
5,250,000
JPMorgan
Chase
&
Co
3
.650
N/A‡
4,620,788‌
4,000,000
JPMorgan
Chase
&
Co
5
.000
N/A‡
3,907,500‌
4,000,000
JPMorgan
Chase
&
Co
6
.100
N/A‡
3,990,800‌
2,900,000
e
Lloyds
Banking
Group
plc
6
.750
N/A‡
2,654,115‌
5,000,000
Lloyds
Banking
Group
plc
7
.500
N/A‡
4,675,750‌
4,175,000
M&T
Bank
Corp
3
.500
N/A‡
2,784,750‌
1,800,000
Mitsubishi
UFJ
Financial
Group,
Inc
2
.193
02/25/25
1,696,237‌
3,000,000
g
Mizrahi
Tefahot
Bank
Ltd
3
.077
04/07/31
2,615,760‌
1,700,000
NatWest
Group
plc
5
.516
09/30/28
1,666,407‌
3,000,000
g
NBK
SPC
Ltd
1
.625
09/15/27
2,670,480‌
3,000,000
g
NBK
Tier  Financing
Ltd
3
.625
N/A‡
2,594,040‌
2,500,000
PNC
Financial
Services
Group,
Inc
3
.900
04/29/24
2,454,325‌
5,225,000
PNC
Financial
Services
Group,
Inc
3
.400
N/A‡
3,853,438‌
3,275,000
PNC
Financial
Services
Group,
Inc
6
.200
N/A‡
3,052,791‌
2,500,000
e,i
PNC
Financial
Services
Group,
Inc
LIBOR
3
M
+
3.678%
3
.804
N/A‡
2,497,496‌
3,000,000
Royal
Bank
of
Scotland
Group
plc
6
.000
N/A‡
2,775,000‌
2,100,000
g
Societe
Generale
S.A.
4
.027
01/21/43
1,400,840‌
2,100,000
g
Societe
Generale
S.A.
9
.375
N/A‡
2,052,750‌
1,600,000
Sumitomo
Mitsui
Financial
Group,
Inc
1
.474
07/08/25
1,469,384‌
475,000
Toronto-Dominion
Bank
3
.625
09/15/31
438,250‌
5,000,000
Truist
Financial
Corp
4
.950
N/A‡
4,625,000‌
3,055,000
Truist
Financial
Corp
4
.800
N/A‡
2,604,388‌
3,000,000
g
Turkiye
Garanti
Bankasi
AS.
7
.177
05/24/27
2,737,860‌
2,500,000
g
Turkiye
Vakiflar
Bankasi
TAO
6
.500
01/08/26
2,318,750‌
550,000
g
Turkiye
Vakiflar
Bankasi
TAO
5
.500
10/01/26
484,143‌
3,500,000
UniCredit
SpA
8
.000
N/A‡
3,421,460‌
1,700,000
g
United
Overseas
Bank
Ltd
3
.750
04/15/29
1,665,457‌
3,000,000
g
United
Overseas
Bank
Ltd
2
.000
10/14/31
2,633,984‌
2,000,000
US
Bancorp
4
.839
02/01/34
1,868,055‌
925,000
Wells
Fargo
&
Co
3
.750
01/24/24
914,334‌
1,050,000
Wells
Fargo
&
Co
3
.550
09/29/25
1,006,373‌
3,800,000
Wells
Fargo
&
Co
3
.526
03/24/28
3,546,728‌
5,825,000
Wells
Fargo
&
Co
2
.393
06/02/28
5,190,837‌
7,000,000
Wells
Fargo
&
Co
3
.900
N/A‡
6,162,800‌
1,500,000
Wells
Fargo
&
Co
5
.875
N/A‡
1,469,847‌
231
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
635,000
Westpac
Banking
Corp
2
.668
%
11/15/35
$
487,290‌
TOTAL
BANKS
355,420,922‌
CAPITAL
GOODS
-
1
.1
%
3,000,000
g
AerCap
Global
Aviation
6
.500
06/15/45
2,899,736‌
1,325,000
Air
Lease
Corp
3
.000
02/01/30
1,107,997‌
4,100,000
Air
Lease
Corp
3
.125
12/01/30
3,415,416‌
1,690,000
g
Airbus
SE
3
.150
04/10/27
1,581,069‌
600,000
g
BAE
Systems
plc
1
.900
02/15/31
481,744‌
10,500,000
Boeing
Co
2
.196
02/04/26
9,636,986‌
1,050,000
Boeing
Co
3
.250
02/01/28
963,950‌
2,350,000
Boeing
Co
2
.950
02/01/30
2,042,536‌
2,300,000
Boeing
Co
3
.250
02/01/35
1,864,905‌
1,375,000
Boeing
Co
5
.705
05/01/40
1,371,572‌
3,375,000
Boeing
Co
5
.805
05/01/50
3,362,684‌
1,160,000
g
Chart
Industries,
Inc
7
.500
01/01/30
1,183,496‌
975,000
g
Chart
Industries,
Inc
9
.500
01/01/31
1,034,488‌
3,075,000
g
H&E
Equipment
Services,
Inc
3
.875
12/15/28
2,662,274‌
1,750,000
Ingersoll-Rand
Luxembourg
Finance
S.A.
3
.800
03/21/29
1,648,642‌
500,000
g
Land
O'
Lakes,
Inc
8
.000
N/A‡
440,000‌
75,000
Lockheed
Martin
Corp
1
.850
06/15/30
62,400‌
1,925,000
Northrop
Grumman
Corp
3
.250
01/15/28
1,795,215‌
199,000
Raytheon
Technologies
Corp
3
.650
08/16/23
198,501‌
4,450,000
Raytheon
Technologies
Corp
4
.125
11/16/28
4,285,951‌
1,080,000
Raytheon
Technologies
Corp
2
.250
07/01/30
910,963‌
2,800,000
Raytheon
Technologies
Corp
5
.150
02/27/33
2,838,272‌
1,725,000
Raytheon
Technologies
Corp
4
.500
06/01/42
1,587,804‌
725,000
g
WESCO
Distribution,
Inc
7
.250
06/15/28
739,541‌
TOTAL
CAPITAL
GOODS
48,116,142‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.6
%
2,125,000
e,g
ADT
Corp
4
.875
07/15/32
1,816,875‌
1,395,000
e,g
Albion
Financing
1
SARL
6
.125
10/15/26
1,311,300‌
800,000
g
ASGN,
Inc
4
.625
05/15/28
723,744‌
925,000
g
Booz
Allen
Hamilton,
Inc
3
.875
09/01/28
836,626‌
370,000
g
Booz
Allen
Hamilton,
Inc
4
.000
07/01/29
331,426‌
1,000,000
g
Garda
World
Security
Corp
4
.625
02/15/27
915,001‌
745,000
g
Garda
World
Security
Corp
7
.750
02/15/28
739,503‌
250,000
g
GFL
Environmental,
Inc
4
.250
06/01/25
241,252‌
1,000,000
g
GFL
Environmental,
Inc
3
.750
08/01/25
951,369‌
250,000
g
GFL
Environmental,
Inc
5
.125
12/15/26
241,197‌
3,150,000
g
GFL
Environmental,
Inc
3
.500
09/01/28
2,803,451‌
3,845,000
g
Iron
Mountain,
Inc
7
.000
02/15/29
3,851,467‌
620,000
g
Prime
Security
Services
Borrower
LLC
5
.250
04/15/24
614,886‌
2,750,000
g
Prime
Security
Services
Borrower
LLC
5
.750
04/15/26
2,699,476‌
1,200,000
g
Prime
Security
Services
Borrower
LLC
3
.375
08/31/27
1,058,372‌
2,725,000
g
Prime
Security
Services
Borrower
LLC
6
.250
01/15/28
2,552,784‌
1,550,000
Republic
Services,
Inc
2
.900
07/01/26
1,452,445‌
420,000
g
Ritchie
Bros
Auctioneers,
Inc
6
.750
03/15/28
423,326‌
645,000
g
Ritchie
Bros
Auctioneers,
Inc
7
.750
03/15/31
669,139‌
1,330,000
Verisk
Analytics,
Inc
4
.125
03/15/29
1,269,578‌
75,000
Verisk
Analytics,
Inc
3
.625
05/15/50
55,149‌
850,000
Waste
Management,
Inc
2
.500
11/15/50
543,105‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
26,101,471‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.6
%
2,670,000
g
Asbury
Automotive
Group,
Inc
4
.625
11/15/29
2,369,955‌
755,000
g
Asbury
Automotive
Group,
Inc
5
.000
02/15/32
657,375‌
1,950,000
AutoZone,
Inc
1
.650
01/15/31
1,521,691‌
1,350,000
Genuine
Parts
Co
2
.750
02/01/32
1,107,757‌
1,645,000
e,g
Hanesbrands,
Inc
9
.000
02/15/31
1,657,939‌
Core
Plus
Bond
Fund
June
30,
2023
232
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL—continued
$
3,900,000
g,q
JSM
Global
Sarl
4
.750
%
10/20/30
$
676,650‌
1,225,000
g
Kia
Corp
2
.750
02/14/27
1,121,182‌
1,000,000
Kohl's
Corp
4
.625
05/01/31
695,780‌
925,000
g
L
Brands,
Inc
6
.625
10/01/30
892,984‌
800,000
g
LCM
Investments
Holdings
II
LLC
4
.875
05/01/29
684,593‌
2,175,000
g
Lithia
Motors,
Inc
4
.625
12/15/27
2,031,667‌
1,950,000
e,g
Macy's
Retail
Holdings
LLC
5
.875
04/01/29
1,779,375‌
2,500,000
e,g
Macy's
Retail
Holdings
LLC
6
.125
03/15/32
2,187,175‌
1,900,000
e,g
Magic
Mergeco,
Inc
5
.250
05/01/28
1,535,086‌
790,000
O'Reilly
Automotive,
Inc
3
.550
03/15/26
756,504‌
1,400,000
O'Reilly
Automotive,
Inc
3
.600
09/01/27
1,324,754‌
1,225,000
O'Reilly
Automotive,
Inc
4
.200
04/01/30
1,156,603‌
2,200,000
O'Reilly
Automotive,
Inc
1
.750
03/15/31
1,731,198‌
1,675,000
g
Prosus
NV
4
.987
01/19/52
1,208,040‌
5,000,000
g
Staples,
Inc
7
.500
04/15/26
4,129,565‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
29,225,873‌
CONSUMER
DURABLES
&
APPAREL
-
0
.0
%
369,000
Newell
Brands,
Inc
4
.875
06/01/25
355,920‌
1,175,000
e
Newell
Brands,
Inc
6
.375
09/15/27
1,125,189‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
1,481,109‌
CONSUMER
SERVICES
-
0
.5
%
2,000,000
g
CDI
Escrow
Issuer,
Inc
5
.750
04/01/30
1,861,636‌
3,285,000
g
Churchill
Downs,
Inc
6
.750
05/01/31
3,248,044‌
2,300,000
g
ENA
Master
Trust
4
.000
05/19/48
1,720,274‌
150,000
g
Hilton
Domestic
Operating
Co,
Inc
5
.750
05/01/28
147,707‌
2,200,000
g
Hilton
Domestic
Operating
Co,
Inc
3
.625
02/15/32
1,834,220‌
1,480,000
g
International
Game
Technology
plc
6
.500
02/15/25
1,480,000‌
400,000
g
International
Game
Technology
plc
4
.125
04/15/26
379,860‌
2,550,000
g
Live
Nation
Entertainment,
Inc
6
.500
05/15/27
2,563,574‌
425,000
e,g
Marriott
Ownership
Resorts,
Inc
4
.500
06/15/29
366,803‌
2,150,000
e
McDonald's
Corp
4
.600
09/09/32
2,129,560‌
1,000,000
g
NCL
Corp
Ltd
5
.875
03/15/26
935,564‌
1,000,000
g
NCL
Corp
Ltd
8
.375
02/01/28
1,044,944‌
1,665,000
Sands
China
Ltd
2
.800
03/08/27
1,445,175‌
2,000,000
e,g
Transnet
SOC
Ltd
8
.250
02/06/28
1,942,500‌
450,000
g
Wynn
Macau
Ltd
5
.625
08/26/28
392,625‌
TOTAL
CONSUMER
SERVICES
21,492,486‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0
.4
%
3,505,000
g
Albertsons
Cos,
Inc
6
.500
02/15/28
3,510,818‌
2,350,000
Costco
Wholesale
Corp
1
.600
04/20/30
1,956,410‌
1,460,000
Kroger
Co
3
.875
10/15/46
1,121,394‌
675,000
SYSCO
Corp
3
.300
07/15/26
637,550‌
2,250,000
SYSCO
Corp
3
.150
12/14/51
1,558,787‌
1,800,000
e
Target
Corp
4
.400
01/15/33
1,749,982‌
2,200,000
Walmart,
Inc
1
.050
09/17/26
1,964,221‌
280,000
e
Walmart,
Inc
2
.375
09/24/29
247,507‌
5,125,000
Walmart,
Inc
1
.800
09/22/31
4,255,229‌
2,375,000
Walmart,
Inc
2
.500
09/22/41
1,767,505‌
1,150,000
Walmart,
Inc
4
.500
04/15/53
1,121,564‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
19,890,967‌
ENERGY
-
3
.7
%
3,950,000
g
Archrock
Partners
LP
6
.875
04/01/27
3,792,000‌
375,000
g
Archrock
Partners
LP
6
.250
04/01/28
352,073‌
550,000
Cenovus
Energy,
Inc
2
.650
01/15/32
443,969‌
2,000,000
Cenovus
Energy,
Inc
5
.400
06/15/47
1,810,497‌
2,750,000
Cheniere
Energy
Partners
LP
3
.250
01/31/32
2,262,287‌
300,000
Chevron
USA,
Inc
3
.900
11/15/24
294,931‌
233
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
1,440,000
g
Civitas
Resources,
Inc
8
.375
%
07/01/28
$
1,456,272‌
875,000
g
Civitas
Resources,
Inc
8
.750
07/01/31
887,075‌
99,644
o
Cloud
Peak
Energy,
Inc
12
.000
05/01/25
90,342‌
1,500,000
g
Cosan
Ltd
5
.500
09/20/29
1,357,435‌
2,125,000
Diamondback
Energy,
Inc
3
.250
12/01/26
1,996,540‌
3,000,000
Diamondback
Energy,
Inc
3
.500
12/01/29
2,700,365‌
2,200,000
Diamondback
Energy,
Inc
3
.125
03/24/31
1,884,471‌
1,600,000
Diamondback
Energy,
Inc
4
.250
03/15/52
1,227,194‌
1,790,000
g
DT
Midstream,
Inc
4
.125
06/15/29
1,570,860‌
1,490,000
g
DT
Midstream,
Inc
4
.375
06/15/31
1,283,267‌
2,300,000
Ecopetrol
S.A.
6
.875
04/29/30
2,098,202‌
2,275,000
Ecopetrol
S.A.
4
.625
11/02/31
1,756,140‌
300,000
h
Ecopetrol
S.A.
8
.875
01/13/33
297,067‌
2,000,000
g
Empresa
Nacional
del
Petroleo
3
.450
09/16/31
1,668,200‌
3,450,000
Enbridge,
Inc
5
.700
03/08/33
3,497,373‌
2,340,000
Enbridge,
Inc
5
.750
07/15/80
2,113,322‌
500,000
g
Energean
Israel
Finance
Ltd
4
.875
03/30/26
463,980‌
897,000
g
Energean
Israel
Finance
Ltd
5
.375
03/30/28
806,950‌
1,450,000
g,h
Energean
Israel
Finance
Ltd
8
.500
09/30/33
1,450,000‌
2,900,000
Energy
Transfer
LP
5
.750
02/15/33
2,918,983‌
4,200,000
Energy
Transfer
LP
6
.500
N/A‡
3,814,944‌
1,375,000
Energy
Transfer
Operating
LP
2
.900
05/15/25
1,302,786‌
950,000
Energy
Transfer
Operating
LP
4
.750
01/15/26
928,675‌
575,000
Energy
Transfer
Operating
LP
5
.500
06/01/27
571,883‌
2,000,000
Energy
Transfer
Operating
LP
4
.950
06/15/28
1,939,942‌
575,000
Energy
Transfer
Operating
LP
5
.250
04/15/29
561,339‌
2,100,000
Energy
Transfer
Operating
LP
6
.250
04/15/49
2,051,025‌
2,700,000
Energy
Transfer
Operating
LP
5
.000
05/15/50
2,280,320‌
525,000
g
EnLink
Midstream
LLC
5
.625
01/15/28
508,034‌
745,000
g
EnLink
Midstream
LLC
6
.500
09/01/30
744,092‌
1,025,000
Enterprise
Products
Operating
LLC
3
.700
02/15/26
988,243‌
1,550,000
Enterprise
Products
Operating
LLC
3
.125
07/31/29
1,388,868‌
200,000
Enterprise
Products
Operating
LLC
2
.800
01/31/30
175,096‌
1,025,000
Enterprise
Products
Operating
LLC
4
.250
02/15/48
868,253‌
2,105,000
Enterprise
Products
Operating
LLC
4
.200
01/31/50
1,759,300‌
3,125,000
Enterprise
Products
Operating
LLC
3
.700
01/31/51
2,390,733‌
825,000
Enterprise
Products
Operating
LLC
3
.200
02/15/52
579,447‌
1,225,000
Enterprise
Products
Operating
LLC
3
.300
02/15/53
874,108‌
450,000
g
EQM
Midstream
Partners
LP
6
.000
07/01/25
445,031‌
800,000
g
EQM
Midstream
Partners
LP
6
.500
07/01/27
789,017‌
2,000,000
g
EQM
Midstream
Partners
LP
4
.500
01/15/29
1,783,786‌
850,000
g
EQT
Corp
3
.125
05/15/26
781,499‌
2,661,300
g
Galaxy
Pipeline
Assets
Bidco
Ltd
2
.160
03/31/34
2,258,549‌
2,750,000
g
Galaxy
Pipeline
Assets
Bidco
Ltd
2
.625
03/31/36
2,218,911‌
675,000
Genesis
Energy
LP
6
.500
10/01/25
664,736‌
3,750,000
Genesis
Energy
LP
6
.250
05/15/26
3,550,983‌
450,000
g
Hilcorp
Energy
I
LP
5
.750
02/01/29
407,470‌
1,000,000
g
Hilcorp
Energy
I
LP
6
.000
04/15/30
910,574‌
450,000
g
Hilcorp
Energy
I
LP
6
.000
02/01/31
401,120‌
475,000
g
Holly
Energy
Partners
LP
6
.375
04/15/27
469,216‌
1,700,000
g
KazMunayGas
National
Co
JSC
5
.375
04/24/30
1,576,807‌
2,000,000
g
KazMunayGas
National
Co
JSC
3
.500
04/14/33
1,548,448‌
715,000
Kinder
Morgan
Energy
Partners
LP
5
.400
09/01/44
633,896‌
1,325,000
g
Kosmos
Energy
Ltd
7
.750
05/01/27
1,132,947‌
1,025,000
g
Leviathan
Bond
Ltd
6
.125
06/30/25
998,463‌
2,200,000
Marathon
Petroleum
Corp
3
.800
04/01/28
2,047,854‌
4,150,000
Marathon
Petroleum
Corp
4
.750
09/15/44
3,470,869‌
1,650,000
Marathon
Petroleum
Corp
5
.000
09/15/54
1,360,641‌
2,625,000
MPLX
LP
1
.750
03/01/26
2,382,771‌
7,275,000
MPLX
LP
2
.650
08/15/30
6,086,643‌
1,550,000
MPLX
LP
4
.700
04/15/48
1,272,192‌
Core
Plus
Bond
Fund
June
30,
2023
234
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
1,617,000
Murphy
Oil
Corp
5
.875
%
12/01/27
$
1,570,891‌
325,000
e
Occidental
Petroleum
Corp
5
.500
12/01/25
320,863‌
800,000
Occidental
Petroleum
Corp
5
.550
03/15/26
789,800‌
2,375,000
Occidental
Petroleum
Corp
3
.500
08/15/29
2,040,101‌
2,000,000
Occidental
Petroleum
Corp
6
.600
03/15/46
2,059,100‌
1,375,000
ONEOK,
Inc
4
.350
03/15/29
1,278,554‌
1,650,000
ONEOK,
Inc
4
.500
03/15/50
1,259,688‌
2,000,000
g
Parkland
Corp
4
.500
10/01/29
1,735,000‌
1,260,000
g
Parkland
Corp
4
.625
05/01/30
1,092,489‌
4,000,000
g
Pertamina
Persero
PT
1
.400
02/09/26
3,611,663‌
2,000,000
g
Pertamina
Persero
PT
2
.300
02/09/31
1,621,467‌
1,200,000
Petrobras
Global
Finance
BV
6
.900
03/19/49
1,107,288‌
1,992,000
Petroleos
Mexicanos
6
.840
01/23/30
1,584,041‌
2,700,000
Petroleos
Mexicanos
5
.950
01/28/31
1,972,487‌
4,509,000
Petroleos
Mexicanos
6
.700
02/16/32
3,428,438‌
2,700,000
Phillips
66
2
.150
12/15/30
2,203,169‌
1,450,000
Phillips
66
3
.300
03/15/52
994,004‌
715,000
Phillips
66
Co
4
.680
02/15/45
609,736‌
475,000
Regency
Energy
Partners
LP
4
.500
11/01/23
473,066‌
5,130,000
Sabine
Pass
Liquefaction
LLC
5
.875
06/30/26
5,171,994‌
3,300,000
Sabine
Pass
Liquefaction
LLC
4
.500
05/15/30
3,136,855‌
640,000
g
Santos
Finance
Ltd
3
.649
04/29/31
531,321‌
2,675,000
g
Saudi
Arabian
Oil
Co
2
.250
11/24/30
2,225,300‌
820,000
Shell
International
Finance
BV
3
.125
11/07/49
596,081‌
2,000,000
g
SierraCol
Energy
Andina
LLC
6
.000
06/15/28
1,470,000‌
455,000
Suncor
Energy,
Inc
6
.800
05/15/38
482,768‌
1,400,000
Sunoco
Logistics
Partners
Operations
LP
4
.000
10/01/27
1,310,957‌
600,000
Sunoco
Logistics
Partners
Operations
LP
5
.400
10/01/47
528,823‌
1,150,000
Sunoco
LP
4
.500
05/15/29
1,020,269‌
1,525,000
Targa
Resources
Corp
4
.200
02/01/33
1,349,836‌
525,000
Targa
Resources
Partners
LP
6
.500
07/15/27
521,197‌
2,000,000
g
Thaioil
Treasury
Center
Co
Ltd
2
.500
06/18/30
1,629,200‌
3,300,000
Total
Capital
International
S.A.
3
.127
05/29/50
2,396,495‌
2,000,000
TransCanada
Trust
5
.500
09/15/79
1,715,500‌
1,110,000
g
Transocean,
Inc
8
.750
02/15/30
1,126,650‌
1,168,000
g
Tullow
Oil
plc
10
.250
05/15/26
887,668‌
1,600,000
USA
Compression
Partners
LP
6
.875
04/01/26
1,567,351‌
1,075,000
USA
Compression
Partners
LP
6
.875
09/01/27
1,026,511‌
2,205,000
g
Venture
Global
LNG,
Inc
8
.125
06/01/28
2,239,475‌
1,800,000
Williams
Cos,
Inc
2
.600
03/15/31
1,491,775‌
3,075,000
Williams
Cos,
Inc
5
.650
03/15/33
3,115,744‌
TOTAL
ENERGY
166,692,921‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
1
.5
%
2,050,000
Agree
LP
2
.000
06/15/28
1,705,824‌
350,000
Alexandria
Real
Estate
Equities,
Inc
3
.950
01/15/27
331,689‌
450,000
Alexandria
Real
Estate
Equities,
Inc
3
.950
01/15/28
419,304‌
1,650,000
Alexandria
Real
Estate
Equities,
Inc
4
.900
12/15/30
1,596,963‌
1,125,000
Alexandria
Real
Estate
Equities,
Inc
1
.875
02/01/33
822,125‌
875,000
American
Tower
Corp
5
.000
02/15/24
869,878‌
1,425,000
American
Tower
Corp
2
.950
01/15/25
1,362,803‌
475,000
American
Tower
Corp
3
.375
10/15/26
443,243‌
1,200,000
American
Tower
Corp
3
.600
01/15/28
1,104,827‌
1,480,000
American
Tower
Corp
3
.800
08/15/29
1,350,181‌
4,100,000
American
Tower
Corp
2
.900
01/15/30
3,536,253‌
825,000
American
Tower
Corp
2
.100
06/15/30
666,208‌
1,390,000
American
Tower
Corp
1
.875
10/15/30
1,096,768‌
950,000
Brandywine
Operating
Partnership
LP
4
.100
10/01/24
911,567‌
1,750,000
Brixmor
Operating
Partnership
LP
3
.850
02/01/25
1,673,675‌
350,000
Brixmor
Operating
Partnership
LP
2
.250
04/01/28
294,007‌
775,000
Crown
Castle
International
Corp
3
.650
09/01/27
724,364‌
235
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)—continued
$
2,025,000
Crown
Castle
International
Corp
2
.250
%
01/15/31
$
1,650,457‌
3,525,000
Crown
Castle
International
Corp
2
.100
04/01/31
2,819,337‌
1,775,000
CubeSmart
LP
2
.250
12/15/28
1,495,721‌
590,000
Equinix,
Inc
2
.150
07/15/30
476,809‌
2,375,000
Essential
Properties
LP
2
.950
07/15/31
1,779,834‌
1,890,000
Essex
Portfolio
LP
3
.000
01/15/30
1,615,569‌
600,000
Federal
Realty
Investment
Trust
1
.250
02/15/26
535,685‌
1,500,000
Healthcare
Realty
Holdings
LP
3
.875
05/01/25
1,422,987‌
1,500,000
Healthcare
Realty
Holdings
LP
3
.625
01/15/28
1,327,204‌
525,000
Healthcare
Realty
Holdings
LP
2
.400
03/15/30
415,470‌
550,000
Healthcare
Realty
Holdings
LP
2
.050
03/15/31
412,230‌
1,225,000
Healthcare
Trust
of
America
Holdings
LP
3
.500
08/01/26
1,127,026‌
3,055,000
Healthcare
Trust
of
America
Holdings
LP
3
.100
02/15/30
2,616,859‌
375,000
Highwoods
Realty
LP
3
.875
03/01/27
336,838‌
725,000
Highwoods
Realty
LP
4
.125
03/15/28
633,992‌
700,000
Highwoods
Realty
LP
4
.200
04/15/29
589,337‌
3,369,000
Highwoods
Realty
LP
2
.600
02/01/31
2,468,914‌
1,285,000
Life
Storage
LP
2
.400
10/15/31
1,017,993‌
1,500,000
Mid-America
Apartments
LP
4
.300
10/15/23
1,491,758‌
1,000,000
Mid-America
Apartments
LP
3
.750
06/15/24
980,402‌
850,000
Mid-America
Apartments
LP
4
.000
11/15/25
822,292‌
3,925,000
Mid-America
Apartments
LP
2
.750
03/15/30
3,400,333‌
1,625,000
Mid-America
Apartments
LP
1
.700
02/15/31
1,282,682‌
1,000,000
Mid-America
Apartments
LP
2
.875
09/15/51
643,061‌
550,000
National
Retail
Properties,
Inc
4
.000
11/15/25
522,987‌
600,000
National
Retail
Properties,
Inc
3
.600
12/15/26
557,714‌
625,000
ProLogis
LP
2
.875
11/15/29
547,032‌
875,000
Regency
Centers
LP
3
.900
11/01/25
824,844‌
425,000
Regency
Centers
LP
3
.600
02/01/27
399,475‌
1,650,000
Regency
Centers
LP
2
.950
09/15/29
1,414,195‌
1,700,000
Retail
Properties
of
America,
Inc
4
.750
09/15/30
1,528,021‌
3,500,000
g
SBA
Tower
Trust
1
.631
11/15/26
3,018,937‌
789,000
g
SBA
Tower
Trust
2
.328
01/15/28
675,207‌
603,000
SITE
Centers
Corp
3
.625
02/01/25
567,450‌
3,820,000
SITE
Centers
Corp
4
.250
02/01/26
3,577,877‌
650,000
SITE
Centers
Corp
4
.700
06/01/27
594,425‌
400,000
Weingarten
Realty
Investors
4
.450
01/15/24
396,907‌
925,000
Weingarten
Realty
Investors
3
.850
06/01/25
877,162‌
300,000
Weingarten
Realty
Investors
3
.250
08/15/26
277,519‌
650,000
Weyerhaeuser
Co
4
.000
03/09/52
518,715‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
66,570,936‌
FINANCIAL
SERVICES
-
3
.0
%
2,150,000
AerCap
Ireland
Capital
DAC
1
.750
01/30/26
1,929,856‌
6,600,000
AerCap
Ireland
Capital
DAC
3
.000
10/29/28
5,706,708‌
1,250,000
AerCap
Ireland
Capital
DAC
3
.300
01/30/32
1,022,623‌
750,000
AerCap
Ireland
Capital
DAC
3
.850
10/29/41
569,711‌
2,312,000
American
Express
Co
3
.700
08/03/23
2,312,000‌
2,600,000
g
Bangkok
Bank
PCL
3
.466
09/23/36
2,116,058‌
4,086,000
Bank
of
New
York
Mellon
Corp
4
.700
N/A‡
3,968,527‌
1,850,000
g
BBVA
Bancomer
S.A.
5
.125
01/18/33
1,605,315‌
1,000,000
g
BBVA
Bancomer
S.A.
8
.450
06/29/38
1,001,000‌
75,000
Capital
One
Financial
Corp
3
.750
03/09/27
69,857‌
3,940,000
e
Capital
One
Financial
Corp
3
.950
N/A‡
2,925,450‌
6,675,000
Charles
Schwab
Corp
5
.375
N/A‡
6,379,431‌
600,000
g
Compass
Group
Diversified
Holdings
LLC
5
.250
04/15/29
525,911‌
475,000
g
Credit
Suisse
Group
AG.
2
.193
06/05/26
435,560‌
5,900,000
g
Credit
Suisse
Group
AG.
1
.305
02/02/27
5,155,913‌
2,050,000
g
Credit
Suisse
Group
AG.
6
.442
08/11/28
2,057,583‌
2,450,000
Deutsche
Bank
AG.
5
.371
09/09/27
2,409,074‌
2,275,000
Deutsche
Bank
AG.
2
.311
11/16/27
1,954,992‌
Core
Plus
Bond
Fund
June
30,
2023
236
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
3,400,000
Deutsche
Bank
AG.
6
.000
%
N/A‡
$
2,712,860‌
6,400,000
Discover
Financial
Services
6
.125
N/A‡
6,098,799‌
4,550,000
Equitable
Holdings,
Inc
4
.950
N/A‡
4,225,589‌
2,135,000
Fiserv,
Inc
3
.500
07/01/29
1,948,691‌
1,250,000
Goldman
Sachs
Group,
Inc
4
.000
03/03/24
1,233,961‌
1,000,000
Goldman
Sachs
Group,
Inc
3
.500
04/01/25
960,590‌
8,200,000
Goldman
Sachs
Group,
Inc
4
.482
08/23/28
7,927,892‌
2,500,000
Goldman
Sachs
Group,
Inc
2
.615
04/22/32
2,050,298‌
710,000
Goldman
Sachs
Group,
Inc
2
.650
10/21/32
578,740‌
1,050,000
Goldman
Sachs
Group,
Inc
4
.411
04/23/39
916,245‌
1,625,000
Goldman
Sachs
Group,
Inc
3
.210
04/22/42
1,200,581‌
1,450,000
Goldman
Sachs
Group,
Inc
3
.436
02/24/43
1,102,963‌
6,050,000
Goldman
Sachs
Group,
Inc
5
.500
N/A‡
5,890,764‌
1,250,000
g,i
Hestia
Re
Ltd
SOFR
+
9.500%
14
.768
04/22/25
1,068,375‌
925,000
Icahn
Enterprises
LP
5
.250
05/15/27
797,720‌
3,850,000
Icahn
Enterprises
LP
4
.375
02/01/29
3,024,945‌
3,000,000
g
Indian
Railway
Finance
Corp
Ltd
2
.800
02/10/31
2,481,749‌
5,800,000
ING
GROEP
NV
6
.500
N/A‡
5,412,560‌
425,000
Legg
Mason,
Inc
3
.950
07/15/24
414,902‌
3,425,000
g
LPL
Holdings,
Inc
4
.000
03/15/29
3,004,816‌
500,000
g,i
Matterhorn
Re
Ltd
SOFR
+
5.250%
5
.889
03/24/25
474,200‌
1,400,000
g
Minejesa
Capital
BV
4
.625
08/10/30
1,253,291‌
1,000,000
g
Minejesa
Capital
BV
5
.625
08/10/37
782,497‌
3,445,000
Morgan
Stanley
2
.720
07/22/25
3,321,970‌
2,650,000
Morgan
Stanley
2
.188
04/28/26
2,487,576‌
1,000,000
Morgan
Stanley
4
.679
07/17/26
981,288‌
6,625,000
Morgan
Stanley
3
.125
07/27/26
6,203,940‌
1,480,000
Morgan
Stanley
3
.950
04/23/27
1,401,312‌
1,300,000
Morgan
Stanley
1
.512
07/20/27
1,151,758‌
4,000,000
Morgan
Stanley
5
.250
04/21/34
3,949,793‌
2,000,000
Navient
Corp
5
.500
03/15/29
1,705,140‌
1,140,000
Northern
Trust
Corp
3
.950
10/30/25
1,098,461‌
2,421,000
Northern
Trust
Corp
4
.600
N/A‡
2,133,553‌
1,345,000
OneMain
Finance
Corp
3
.500
01/15/27
1,153,929‌
2,375,000
g
Power
Finance
Corp
Ltd
3
.950
04/23/30
2,115,022‌
2,000,000
g
Rocket
Mortgage
LLC
4
.000
10/15/33
1,564,480‌
600,000
Springleaf
Finance
Corp
6
.125
03/15/24
597,953‌
1,350,000
Springleaf
Finance
Corp
5
.375
11/15/29
1,147,699‌
2,325,000
UBS
Group
AG.
3
.750
03/26/25
2,224,791‌
2,100,000
g
UBS
Group
AG.
3
.179
02/11/43
1,457,606‌
550,000
Visa,
Inc
2
.700
04/15/40
422,502‌
260,000
Voya
Financial,
Inc
5
.700
07/15/43
249,334‌
TOTAL
FINANCIAL
SERVICES
133,076,704‌
FOOD,
BEVERAGE
&
TOBACCO
-
1
.2
%
8,000,000
Anheuser-Busch
Cos
LLC
3
.650
02/01/26
7,748,535‌
2,575,000
Anheuser-Busch
Cos
LLC
4
.700
02/01/36
2,504,483‌
2,830,000
Anheuser-Busch
Cos
LLC
4
.900
02/01/46
2,704,888‌
5,580,000
Anheuser-Busch
InBev
Worldwide,
Inc
4
.750
01/23/29
5,555,762‌
3,700,000
BAT
Capital
Corp
2
.259
03/25/28
3,170,960‌
3,650,000
BAT
Capital
Corp
4
.906
04/02/30
3,450,242‌
3,735,000
BAT
Capital
Corp
2
.726
03/25/31
2,974,860‌
4,400,000
BAT
International
Finance
plc
4
.448
03/16/28
4,153,201‌
2,700,000
g
Cia
Cervecerias
Unidas
S.A.
3
.350
01/19/32
2,301,777‌
3,000,000
g
Coca-Cola
Icecek
AS.
4
.500
01/20/29
2,666,963‌
450,000
Constellation
Brands,
Inc
4
.400
11/15/25
440,675‌
450,000
Constellation
Brands,
Inc
3
.700
12/06/26
428,073‌
1,625,000
Constellation
Brands,
Inc
3
.150
08/01/29
1,464,718‌
2,350,000
Constellation
Brands,
Inc
2
.875
05/01/30
2,038,561‌
1,700,000
Constellation
Brands,
Inc
2
.250
08/01/31
1,389,204‌
1,650,000
Diageo
Capital
plc
2
.125
10/24/24
1,578,094‌
237
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOOD,
BEVERAGE
&
TOBACCO—continued
$
2,425,000
Diageo
Capital
plc
2
.375
%
10/24/29
$
2,101,820‌
1,150,000
Diageo
Capital
plc
2
.000
04/29/30
969,117‌
1,700,000
g
Grupo
Bimbo
SAB
de
C.V.
4
.700
11/10/47
1,531,453‌
2,500,000
g
MARB
BondCo
plc
3
.950
01/29/31
1,789,647‌
1,500,000
g
Primo
Water
Holdings,
Inc
4
.375
04/30/29
1,285,275‌
3,325,000
g
Ulker
Biskuvi
Sanayi
AS.
6
.950
10/30/25
2,976,274‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
55,224,582‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
1
.9
%
450,000
Abbott
Laboratories
5
.300
05/27/40
471,059‌
4,200,000
Anthem,
Inc
2
.250
05/15/30
3,518,210‌
1,660,000
Becton
Dickinson
&
Co
2
.823
05/20/30
1,451,827‌
1,200,000
Boston
Scientific
Corp
2
.650
06/01/30
1,045,524‌
1,640,000
Centene
Corp
2
.450
07/15/28
1,401,800‌
6,410,000
Centene
Corp
3
.000
10/15/30
5,341,434‌
2,750,000
g
CHS/Community
Health
Systems,
Inc
8
.000
03/15/26
2,678,768‌
1,250,000
g
CHS/Community
Health
Systems,
Inc
5
.250
05/15/30
984,659‌
1,525,000
Cigna
Corp
3
.200
03/15/40
1,172,311‌
7,450,000
CVS
Health
Corp
1
.750
08/21/30
5,944,606‌
5,175,000
CVS
Health
Corp
4
.780
03/25/38
4,775,860‌
1,400,000
CVS
Health
Corp
2
.700
08/21/40
977,246‌
8,425,000
CVS
Health
Corp
5
.050
03/25/48
7,765,683‌
2,000,000
g
DaVita,
Inc
4
.625
06/01/30
1,716,956‌
1,575,000
Elevance
Health,
Inc
5
.125
02/15/53
1,527,324‌
4,630,000
Encompass
Health
Corp
4
.500
02/01/28
4,307,537‌
9,000,000
HCA,
Inc
3
.500
09/01/30
7,888,946‌
2,075,000
g
HCA,
Inc
3
.625
03/15/32
1,801,117‌
1,320,000
HCA,
Inc
5
.500
06/15/47
1,243,294‌
1,700,000
g
HCA,
Inc
4
.625
03/15/52
1,396,969‌
3,500,000
g
Hologic,
Inc
3
.250
02/15/29
3,062,165‌
1,800,000
Humana,
Inc
3
.950
03/15/27
1,720,077‌
2,000,000
Humana,
Inc
2
.150
02/03/32
1,575,520‌
1,025,000
McKesson
Corp
5
.100
07/15/33
1,028,631‌
1,700,000
g
MPH
Acquisition
Holdings
LLC
5
.500
09/01/28
1,449,129‌
3,375,000
MPT
Operating
Partnership
LP
3
.500
03/15/31
2,325,435‌
375,000
Tenet
Healthcare
Corp
4
.625
06/15/28
350,245‌
3,400,000
e
Tenet
Healthcare
Corp
6
.125
10/01/28
3,273,180‌
5,600,000
Tenet
Healthcare
Corp
4
.375
01/15/30
5,053,414‌
2,650,000
UnitedHealth
Group,
Inc
2
.950
10/15/27
2,458,996‌
3,625,000
UnitedHealth
Group,
Inc
2
.300
05/15/31
3,065,125‌
1,085,000
UnitedHealth
Group,
Inc
3
.750
10/15/47
892,984‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
83,666,031‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.0
%
875,000
Church
&
Dwight
Co,
Inc
2
.300
12/15/31
721,644‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
721,644‌
INSURANCE
-
1
.1
%
2,550,000
g
Acrisure
LLC
4
.250
02/15/29
2,201,149‌
150,000
Aetna,
Inc
6
.625
06/15/36
164,808‌
53,000
Aflac,
Inc
6
.450
08/15/40
55,564‌
1,000,000
g,i
Alamo
Re
Ltd
12
.575
06/07/25
949,400‌
825,000
g
Alliant
Holdings
Intermediate
LLC
4
.250
10/15/27
740,349‌
4,360,000
g
Alliant
Holdings
Intermediate
LLC
6
.750
04/15/28
4,323,980‌
325,000
g
AmWINS
Group,
Inc
4
.875
06/30/29
293,470‌
1,250,000
Aon
Corp
2
.800
05/15/30
1,081,897‌
1,450,000
Aon
Corp
5
.350
02/28/33
1,460,564‌
2,425,000
Aon
plc
3
.500
06/14/24
2,372,114‌
500,000
Berkshire
Hathaway
Finance
Corp
2
.875
03/15/32
440,007‌
3,895,000
Berkshire
Hathaway
Finance
Corp
2
.850
10/15/50
2,710,440‌
400,000
Berkshire
Hathaway
Finance
Corp
3
.850
03/15/52
330,665‌
Core
Plus
Bond
Fund
June
30,
2023
238
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
INSURANCE—continued
$
700,000
CNA
Financial
Corp
3
.950
%
05/15/24
$
688,110‌
550,000
g
Equitable
Financial
Life
Global
Funding
1
.400
07/07/25
500,351‌
1,690,000
g
Five
Corners
Funding
Trust
II
2
.850
05/15/30
1,435,569‌
7,425,000
Hartford
Financial
Services
Group,
Inc
2
.800
08/19/29
6,391,845‌
250,000
Hartford
Financial
Services
Group,
Inc
4
.300
04/15/43
203,696‌
850,000
Hartford
Financial
Services
Group,
Inc
2
.900
09/15/51
551,649‌
2,000,000
g
High
Street
Funding
Trust
I
4
.111
02/15/28
1,859,268‌
1,521,000
g
Liberty
Mutual
Group,
Inc
4
.569
02/01/29
1,434,405‌
1,750,000
g
Liberty
Mutual
Group,
Inc
3
.951
10/15/50
1,279,842‌
1,750,000
g
Liberty
Mutual
Group,
Inc
5
.500
06/15/52
1,648,115‌
375,000
Marsh
&
McLennan
Cos,
Inc
3
.500
03/10/25
363,637‌
1,400,000
MetLife,
Inc
3
.600
04/10/24
1,378,967‌
260,000
MetLife,
Inc
3
.600
11/13/25
249,763‌
625,000
MetLife,
Inc
5
.000
07/15/52
586,888‌
3,920,000
e
MetLife,
Inc
3
.850
N/A‡
3,622,002‌
1,000,000
g
NFP
Corp
4
.875
08/15/28
893,186‌
1,000,000
g
NFP
Corp
7
.500
10/01/30
968,205‌
500,000
Principal
Financial
Group,
Inc
2
.125
06/15/30
405,533‌
2,100,000
Prudential
Financial,
Inc
5
.200
03/15/44
2,075,157‌
500,000
Prudential
Financial,
Inc
3
.905
12/07/47
398,923‌
4,000,000
Prudential
Financial,
Inc
5
.125
03/01/52
3,611,480‌
1,050,000
Reinsurance
Group
of
America,
Inc
3
.900
05/15/29
952,668‌
700,000
g
Swiss
Re
Finance
Luxembourg
SA
5
.000
04/02/49
668,500‌
850,000
Willis
North
America,
Inc
3
.600
05/15/24
829,344‌
TOTAL
INSURANCE
50,121,510‌
MATERIALS
-
2
.1
%
2,650,000
Albemarle
Corp
4
.650
06/01/27
2,580,646‌
1,125,000
g
Alpek
SAB
de
C.V.
4
.250
09/18/29
1,005,469‌
2,000,000
g
Alpek
SAB
de
C.V.
3
.250
02/25/31
1,616,200‌
3,700,000
Amcor
Flexibles
North
America,
Inc
2
.690
05/25/31
3,030,676‌
875,000
g
Anglo
American
Capital
plc
3
.875
03/16/29
795,157‌
1,350,000
e,g
Anglo
American
Capital
plc
2
.625
09/10/30
1,113,590‌
2,300,000
AngloGold
Ashanti
Holdings
plc
3
.375
11/01/28
2,013,783‌
1,500,000
AngloGold
Ashanti
Holdings
plc
3
.750
10/01/30
1,287,551‌
1,225,000
e,g
Ardagh
Metal
Packaging
Finance
USA
LLC
3
.250
09/01/28
1,052,236‌
3,570,000
Ball
Corp
6
.875
03/15/28
3,640,911‌
2,425,000
Ball
Corp
2
.875
08/15/30
2,013,059‌
270,000
Bemis
Co,
Inc
3
.100
09/15/26
247,878‌
1,200,000
Bemis
Co,
Inc
2
.630
06/19/30
997,980‌
5,375,000
Berry
Global,
Inc
1
.570
01/15/26
4,846,827‌
3,125,000
Berry
Global,
Inc
1
.650
01/15/27
2,695,636‌
1,500,000
g
Celulosa
Arauco
y
Constitucion
S.A.
4
.250
04/30/29
1,357,118‌
1,500,000
g
Cemex
SAB
de
C.V.
5
.450
11/19/29
1,446,374‌
2,000,000
g
Cemex
SAB
de
C.V.
3
.875
07/11/31
1,683,809‌
875,000
g
Cemex
SAB
de
C.V.
9
.125
N/A‡
886,154‌
1,500,000
Commercial
Metals
Co
4
.125
01/15/30
1,334,852‌
725,000
e,g
Constellium
SE
3
.750
04/15/29
616,799‌
2,000,000
g
Corp
Nacional
del
Cobre
de
Chile
3
.150
01/14/30
1,771,132‌
5,805,000
DowDuPont,
Inc
4
.493
11/15/25
5,685,115‌
1,605,000
DowDuPont,
Inc
4
.725
11/15/28
1,578,372‌
5,000,000
g
FMG
Resources
August
2006
Pty
Ltd
5
.875
04/15/30
4,761,271‌
1,785,000
g
Freeport
Indonesia
PT
5
.315
04/14/32
1,683,409‌
1,250,000
g
Gold
Fields
Orogen
Holdings
BVI
Ltd
6
.125
05/15/29
1,264,169‌
1,215,000
g
Inversiones
CMPC
S.A.
6
.125
06/23/33
1,222,832‌
1,785,000
g
Mauser
Packaging
Solutions
Holding
Co
7
.875
08/15/26
1,773,412‌
485,000
g
Midwest
Connector
Capital
Co
LLC
4
.625
04/01/29
443,171‌
2,000,000
g
Mineral
Resources
Ltd
8
.000
11/01/27
1,997,144‌
1,200,000
Newmont
Corp
2
.250
10/01/30
983,150‌
1,665,000
Newmont
Corp
2
.600
07/15/32
1,360,405‌
3,000,000
g
Nova
Chemicals
Corp
4
.875
06/01/24
2,930,940‌
239
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MATERIALS—continued
$
2,500,000
Nutrien
Ltd
2
.950
%
05/13/30
$
2,170,151‌
1,920,000
g
OCI
NV
4
.625
10/15/25
1,830,882‌
1,100,000
g
OCP
S.A.
3
.750
06/23/31
908,468‌
2,000,000
Olin
Corp
5
.125
09/15/27
1,907,257‌
1,975,000
g
Orbia
Advance
Corp
SAB
de
C.V.
1
.875
05/11/26
1,770,094‌
2,900,000
g
PolyOne
Corp
5
.750
05/15/25
2,864,801‌
2,075,000
Sasol
Financing
USA
LLC
4
.375
09/18/26
1,831,255‌
670,000
g
Sealed
Air
Corp
6
.125
02/01/28
665,061‌
3,000,000
g
Sociedad
Quimica
y
Minera
de
Chile
S.A.
3
.500
09/10/51
2,118,399‌
2,200,000
g
Standard
Industries,
Inc
5
.000
02/15/27
2,096,709‌
2,000,000
g
SunCoke
Energy,
Inc
4
.875
06/30/29
1,679,714‌
3,000,000
e
Suzano
Austria
GmbH
3
.125
01/15/32
2,401,149‌
911,000
g
Tronox,
Inc
4
.625
03/15/29
757,071‌
2,675,000
g
UltraTech
Cement
Ltd
2
.800
02/16/31
2,196,557‌
815,000
g
Unifrax
Escrow
Issuer
Corp
5
.250
09/30/28
588,373‌
1,595,000
g,h
Windsor
Holdings
III
LLC
8
.500
06/15/30
1,587,535‌
1,000,000
WRKCo,
Inc
4
.900
03/15/29
967,193‌
1,500,000
e
WRKCo,
Inc
3
.000
06/15/33
1,219,824‌
TOTAL
MATERIALS
93,277,720‌
MEDIA
&
ENTERTAINMENT
-
2
.4
%
875,000
Activision
Blizzard,
Inc
3
.400
09/15/26
832,412‌
1,100,000
Activision
Blizzard,
Inc
1
.350
09/15/30
879,934‌
2,030,000
g
Adani
Electricity
Mumbai
Ltd
3
.867
07/22/31
1,429,128‌
3,980,280
g
Alfa
Desarrollo
S.p.A
4
.550
09/27/51
2,920,531‌
2,000,000
g
Altice
Financing
S.A.
5
.750
08/15/29
1,549,322‌
2,500,000
g
Arches
Buyer,
Inc
4
.250
06/01/28
2,175,481‌
1,500,000
g
BOC
Aviation
USA
Corp
1
.625
04/29/24
1,447,243‌
500,000
g,i
Bonanza
RE
Ltd
SOFR
+
5.750%
11
.031
03/16/25
420,600‌
1,175,000
g
Cable
Onda
S.A.
4
.500
01/30/30
998,670‌
6,000,000
g
CCO
Holdings
LLC
5
.125
05/01/27
5,587,469‌
1,800,000
g
CCO
Holdings
LLC
4
.500
08/15/30
1,498,844‌
2,200,000
e
Charter
Communications
Operating
LLC
4
.400
04/01/33
1,931,062‌
5,000,000
Charter
Communications
Operating
LLC
3
.500
03/01/42
3,344,487‌
1,465,000
Charter
Communications
Operating
LLC
5
.125
07/01/49
1,152,550‌
8,150,000
Charter
Communications
Operating
LLC
4
.800
03/01/50
6,149,165‌
5,000,000
Comcast
Corp
4
.150
10/15/28
4,844,388‌
2,975,000
Comcast
Corp
3
.200
07/15/36
2,440,586‌
1,000,000
Comcast
Corp
3
.900
03/01/38
868,845‌
15,185,000
Comcast
Corp
2
.887
11/01/51
10,180,882‌
5,000,000
g
CSC
Holdings
LLC
5
.500
04/15/27
4,159,943‌
980,000
e,g
CSC
Holdings
LLC
11
.250
05/15/28
950,335‌
1,225,000
g
CT
Trust
5
.125
02/03/32
983,179‌
985,000
g
DIRECTV
Holdings
LLC
5
.875
08/15/27
892,051‌
1,300,000
g
Electricidad
Firme
de
Mexico
Holdings
S.A.
de
C.V.
4
.900
11/20/26
1,142,375‌
3,000,000
g
Genm
Capital
Labuan
Ltd
3
.882
04/19/31
2,425,829‌
2,000,000
GSK
Consumer
Healthcare
Capital
US
LLC
3
.375
03/24/27
1,871,565‌
3,200,000
GSK
Consumer
Healthcare
Capital
US
LLC
3
.625
03/24/32
2,868,608‌
1,275,000
Lamar
Media
Corp
3
.750
02/15/28
1,160,556‌
3,000,000
Lamar
Media
Corp
4
.875
01/15/29
2,790,000‌
1,000,000
Lamar
Media
Corp
4
.000
02/15/30
874,948‌
825,000
Lamar
Media
Corp
3
.625
01/15/31
695,062‌
1,275,000
g
LCPR
Senior
Secured
Financing
DAC
5
.125
07/15/29
1,071,365‌
1,500,000
g
Liberty
Costa
Rica
Senior
Secured
Finance
10
.875
01/15/31
1,484,289‌
2,322,750
g
Mexico
Remittances
Funding
Fiduciary
Estate
Management
Sarl
4
.875
01/15/28
2,087,572‌
825,000
g
News
Corp
3
.875
05/15/29
724,190‌
3,500,000
Paramount
Global
6
.375
03/30/62
2,919,736‌
1,830,000
S&P
Global,
Inc
4
.250
05/01/29
1,778,492‌
590,000
g
Sirius
XM
Radio,
Inc
3
.125
09/01/26
528,196‌
2,725,000
g
Sirius
XM
Radio,
Inc
4
.000
07/15/28
2,367,677‌
1,575,000
g
Sirius
XM
Radio,
Inc
4
.125
07/01/30
1,286,074‌
Core
Plus
Bond
Fund
June
30,
2023
240
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MEDIA
&
ENTERTAINMENT—continued
$
1,230,000
Time
Warner
Cable
LLC
5
.875
%
11/15/40
$
1,085,044‌
475,000
Time
Warner
Cable
LLC
4
.500
09/15/42
355,296‌
1,275,000
g
Univision
Communications,
Inc
4
.500
05/01/29
1,095,425‌
3,000,000
g
UPC
Broadband
Finco
BV
4
.875
07/15/31
2,469,270‌
2,000,000
g
Venture
Global
Calcasieu
Pass
LLC
4
.125
08/15/31
1,719,933‌
1,500,000
g,i
Vitality
Re
XIV
Ltd
U.S.
Treasury
Bill
3
M
+
3.500%
8
.768
01/05/27
1,535,850‌
2,000,000
g
VZ
Secured
Financing
BV
5
.000
01/15/32
1,610,733‌
125,000
Walt
Disney
Co
7
.625
11/30/28
139,992‌
5,000,000
Warnermedia
Holdings,
Inc
3
.755
03/15/27
4,663,831‌
6,475,000
Warnermedia
Holdings,
Inc
5
.050
03/15/42
5,457,566‌
725,000
Warnermedia
Holdings,
Inc
5
.141
03/15/52
590,330‌
1,825,000
Weibo
Corp
3
.375
07/08/30
1,452,954‌
TOTAL
MEDIA
&
ENTERTAINMENT
107,889,865‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
1
.3
%
2,625,000
AbbVie,
Inc
3
.800
03/15/25
2,552,077‌
5,725,000
AbbVie,
Inc
4
.050
11/21/39
4,984,541‌
5,975,000
Amgen,
Inc
5
.250
03/02/33
5,982,621‌
5,350,000
Amgen,
Inc
5
.650
03/02/53
5,417,973‌
25,000
AstraZeneca
Finance
LLC
2
.250
05/28/31
21,095‌
6,675,000
AstraZeneca
plc
1
.375
08/06/30
5,370,700‌
1,500,000
g
Avantor
Funding,
Inc
4
.625
07/15/28
1,390,384‌
2,040,000
g
Avantor
Funding,
Inc
3
.875
11/01/29
1,786,078‌
750,000
Bristol-Myers
Squibb
Co
2
.350
11/13/40
527,002‌
1,700,000
Bristol-Myers
Squibb
Co
3
.550
03/15/42
1,409,511‌
1,090,000
Danaher
Corp
2
.800
12/10/51
751,939‌
450,000
Gilead
Sciences,
Inc
4
.000
09/01/36
405,763‌
900,000
Johnson
&
Johnson
3
.400
01/15/38
784,341‌
1,325,000
Merck
&
Co,
Inc
2
.750
12/10/51
913,898‌
1,450,000
Mylan,
Inc
4
.550
04/15/28
1,366,077‌
2,000,000
g
Organon
Finance  LLC
4
.125
04/30/28
1,775,062‌
3,150,000
g
Organon
Finance  LLC
5
.125
04/30/31
2,598,827‌
1,375,000
Pfizer
Investment
Enterprises
Pte
Ltd
4
.750
05/19/33
1,369,819‌
5,150,000
Pfizer
Investment
Enterprises
Pte
Ltd
5
.300
05/19/53
5,354,359‌
5,250,000
Pfizer
Investment
Enterprises
Pte
Ltd
5
.340
05/19/63
5,312,728‌
6,950,000
Takeda
Pharmaceutical
Co
Ltd
2
.050
03/31/30
5,775,802‌
3,000,000
Teva
Pharmaceutical
Finance
Netherlands
III
BV
3
.150
10/01/26
2,688,137‌
1,045,000
Teva
Pharmaceutical
Finance
Netherlands
III
BV
4
.750
05/09/27
966,701‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
59,505,435‌
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
0
.1
%
1,850,000
g
Cushman
&
Wakefield
US
Borrower
LLC
6
.750
05/15/28
1,674,250‌
1,400,000
Kennedy-Wilson,
Inc
4
.750
03/01/29
1,106,914‌
1,475,000
Kennedy-Wilson,
Inc
5
.000
03/01/31
1,103,897‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
3,885,061‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.5
%
3,736,000
g
Broadcom,
Inc
3
.187
11/15/36
2,823,493‌
8,558,000
g
Broadcom,
Inc
4
.926
05/15/37
7,745,025‌
1,035,000
Intel
Corp
3
.734
12/08/47
804,584‌
3,595,000
NVIDIA
Corp
2
.000
06/15/31
3,010,870‌
1,425,000
NXP
BV
3
.875
06/18/26
1,368,785‌
1,175,000
NXP
BV
4
.400
06/01/27
1,135,861‌
725,000
NXP
BV
3
.400
05/01/30
641,457‌
1,575,000
NXP
BV
3
.125
02/15/42
1,101,814‌
700,000
Texas
Instruments,
Inc
2
.625
05/15/24
683,323‌
505,000
Texas
Instruments,
Inc
4
.150
05/15/48
458,690‌
1,500,000
Texas
Instruments,
Inc
5
.000
03/14/53
1,519,633‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
21,293,535‌
241
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SOFTWARE
&
SERVICES
-
0
.6
%
$
2,975,000
Adobe,
Inc
2
.300
%
02/01/30
$
2,609,700‌
265,000
g
CA
Magnum
Holdings
5
.375
10/31/26
237,271‌
900,000
g
Gartner,
Inc
3
.750
10/01/30
783,826‌
1,413,000
g
j2
Global,
Inc
4
.625
10/15/30
1,223,824‌
3,000,000
Microsoft
Corp
2
.400
08/08/26
2,815,481‌
1,165,000
Microsoft
Corp
3
.300
02/06/27
1,120,321‌
1,149,000
Microsoft
Corp
2
.525
06/01/50
794,816‌
2,270,000
g
NortonLifeLock,
Inc
6
.750
09/30/27
2,263,609‌
565,000
g
Open
Text
Corp
6
.900
12/01/27
575,187‌
2,830,000
g
Open
Text
Corp
3
.875
12/01/29
2,365,491‌
550,000
g
Open
Text
Holdings,
Inc
4
.125
02/15/30
465,742‌
4,300,000
Oracle
Corp
4
.900
02/06/33
4,174,030‌
2,450,000
Oracle
Corp
5
.550
02/06/53
2,372,441‌
1,300,000
Roper
Technologies,
Inc
1
.400
09/15/27
1,120,709‌
4,100,000
Roper
Technologies,
Inc
2
.000
06/30/30
3,350,910‌
3,525,000
salesforce.com,
Inc
2
.700
07/15/41
2,589,834‌
TOTAL
SOFTWARE
&
SERVICES
28,863,192‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
0
.6
%
3,000,000
g
Ahead
DB
Holdings
LLC
6
.625
05/01/28
2,439,810‌
1,470,000
Amphenol
Corp
2
.800
02/15/30
1,287,237‌
5,575,000
Apple,
Inc
2
.450
08/04/26
5,218,775‌
10,350,000
Apple,
Inc
2
.050
09/11/26
9,537,391‌
1,000,000
Apple,
Inc
3
.850
05/04/43
892,335‌
640,000
Apple,
Inc
4
.650
02/23/46
631,387‌
290,000
Corning,
Inc
4
.375
11/15/57
234,888‌
1,805,000
Dell
International
LLC
5
.300
10/01/29
1,791,840‌
875,000
Flex
Ltd
4
.875
06/15/29
836,878‌
4,125,000
g
Imola
Merger
Corp
4
.750
05/15/29
3,587,535‌
1,500,000
g
Lenovo
Group
Ltd
3
.421
11/02/30
1,264,118‌
975,000
g
Sensata
Technologies
BV
4
.000
04/15/29
868,027‌
450,000
Tyco
Electronics
Group
S.A.
3
.700
02/15/26
434,053‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
29,024,274‌
TELECOMMUNICATION
SERVICES
-
2
.4
%
2,075,000
g
America
Movil
SAB
de
C.V.
5
.375
04/04/32
1,879,289‌
6,563,000
AT&T,
Inc
2
.550
12/01/33
5,155,079‌
2,085,000
AT&T,
Inc
4
.500
05/15/35
1,916,745‌
1,700,000
AT&T,
Inc
3
.500
06/01/41
1,305,064‌
20,570,000
AT&T,
Inc
3
.550
09/15/55
14,400,352‌
4,917,000
AT&T,
Inc
3
.800
12/01/57
3,559,896‌
3,500,000
g
Bharti
Airtel
Ltd
3
.250
06/03/31
3,022,580‌
3,200,000
g
C&W
Senior
Financing
Designated
Activity
Co
6
.875
09/15/27
2,792,000‌
2,575,000
g
Empresa
Nacional
de
Telecomunicaciones
S.A.
3
.050
09/14/32
2,039,400‌
2,000,000
g
Frontier
Communications
Holdings
LLC
5
.875
10/15/27
1,835,522‌
1,925,000
g
Iliad
Holding
SASU
6
.500
10/15/26
1,816,859‌
893,000
g
Iliad
Holding
SASU
7
.000
10/15/28
823,028‌
2,268,000
g
Millicom
International
Cellular
S.A.
5
.125
01/15/28
1,980,427‌
1,175,000
g
Millicom
International
Cellular
S.A.
4
.500
04/27/31
903,105‌
370,000
Orange
S.A.
5
.375
01/13/42
367,301‌
1,150,000
Telefonica
Emisiones
SAU
4
.895
03/06/48
959,798‌
3,000,000
g
Telefonica
Moviles
Chile
S.A.
3
.537
11/18/31
2,385,000‌
800,000
T-Mobile
USA,
Inc
2
.250
02/15/26
735,084‌
10,850,000
T-Mobile
USA,
Inc
2
.625
02/15/29
9,423,528‌
8,650,000
T-Mobile
USA,
Inc
3
.875
04/15/30
7,968,973‌
1,750,000
T-Mobile
USA,
Inc
5
.050
07/15/33
1,718,323‌
750,000
T-Mobile
USA,
Inc
3
.000
02/15/41
548,332‌
3,000,000
T-Mobile
USA,
Inc
3
.300
02/15/51
2,104,471‌
1,700,000
Verizon
Communications,
Inc
1
.750
01/20/31
1,341,188‌
24,650,000
Verizon
Communications,
Inc
2
.550
03/21/31
20,581,099‌
1,158,000
Verizon
Communications,
Inc
2
.355
03/15/32
931,361‌
Core
Plus
Bond
Fund
June
30,
2023
242
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TELECOMMUNICATION
SERVICES—continued
$
5,335,000
g
Vmed
O2
UK
Financing
I
plc
4
.750
%
07/15/31
$
4,436,045‌
2,850,000
Vodafone
Group
plc
4
.375
02/19/43
2,393,381‌
2,620,000
Vodafone
Group
plc
4
.250
09/17/50
2,100,647‌
6,000,000
Vodafone
Group
plc
4
.125
06/04/81
4,761,000‌
TOTAL
TELECOMMUNICATION
SERVICES
106,184,877‌
TRANSPORTATION
-
0
.7
%
3,600,000
g
Adani
Ports
&
Special
Economic
Zone
Ltd
3
.100
02/02/31
2,518,636‌
1,400,000
g
Aeropuerto
Internacional
de
Tocumen
S.A.
4
.000
08/11/41
1,120,859‌
1,800,000
Burlington
Northern
Santa
Fe
LLC
3
.050
02/15/51
1,275,120‌
5,500,000
Canadian
Pacific
Railway
Co
2
.050
03/05/30
4,613,629‌
750,000
Canadian
Pacific
Railway
Co
3
.100
12/02/51
531,569‌
2,750,000
g
Cargo
Aircraft
Management,
Inc
4
.750
02/01/28
2,409,192‌
1,990,000
CSX
Corp
3
.250
06/01/27
1,872,488‌
700,000
CSX
Corp
3
.800
03/01/28
666,294‌
3,295,000
CSX
Corp
4
.250
03/15/29
3,189,606‌
3,000,000
g
Grupo
Aeromexico
SAB
de
C.V.
8
.500
03/17/27
2,684,759‌
698,326
g
Lima
Metro
Line
2
Finance
Ltd
4
.350
04/05/36
616,548‌
3,260,000
g
Misc
Capital
Two
Labuan
Ltd
3
.750
04/06/27
3,050,844‌
1,550,000
Union
Pacific
Corp
2
.891
04/06/36
1,235,793‌
1,880,000
Union
Pacific
Corp
3
.839
03/20/60
1,495,458‌
3,940,000
g
XPO,
Inc
6
.250
06/01/28
3,873,915‌
TOTAL
TRANSPORTATION
31,154,710‌
UTILITIES
-
3
.2
%
325,000
AEP
Transmission
Co
LLC
3
.100
12/01/26
304,503‌
350,000
AEP
Transmission
Co
LLC
4
.000
12/01/46
293,365‌
2,285,000
AEP
Transmission
Co
LLC
2
.750
08/15/51
1,472,800‌
700,000
Alabama
Power
Co
4
.150
08/15/44
583,407‌
1,350,000
Ameren
Corp
1
.750
03/15/28
1,156,044‌
2,000,000
Ameren
Illinois
Co
4
.950
06/01/33
1,984,112‌
3,225,000
Ameren
Illinois
Co
5
.900
12/01/52
3,511,904‌
525,000
American
Water
Capital
Corp
3
.000
12/01/26
486,445‌
1,927,000
American
Water
Capital
Corp
2
.800
05/01/30
1,684,370‌
5,000,000
American
Water
Capital
Corp
2
.300
06/01/31
4,150,359‌
500,000
American
Water
Capital
Corp
4
.000
12/01/46
403,362‌
900,000
American
Water
Capital
Corp
3
.750
09/01/47
712,131‌
3,100,000
Atmos
Energy
Corp
1
.500
01/15/31
2,435,672‌
250,000
Atmos
Energy
Corp
4
.125
10/15/44
210,298‌
1,325,000
Baltimore
Gas
&
Electric
Co
3
.750
08/15/47
1,034,544‌
2,250,000
g
Becle
SAB
de
C.V.
2
.500
10/14/31
1,815,413‌
7,100,000
Berkshire
Hathaway
Energy
Co
1
.650
05/15/31
5,505,650‌
925,000
Black
Hills
Corp
4
.250
11/30/23
918,543‌
725,000
CenterPoint
Energy
Houston
Electric
LLC
3
.000
03/01/32
626,977‌
300,000
CenterPoint
Energy
Resources
Corp
6
.250
02/01/37
308,462‌
500,000
g,i
Citrus
Re
Ltd
SOFR
+
5.100%
5
.100
06/07/25
481,700‌
525,000
g
Clearway
Energy
Operating
LLC
4
.750
03/15/28
484,376‌
1,000,000
CMS
Energy
Corp
3
.600
11/15/25
945,488‌
3,050,000
CMS
Energy
Corp
4
.750
06/01/50
2,622,177‌
1,900,000
g
Colbun
S.A.
3
.150
01/19/32
1,605,500‌
200,000
Commonwealth
Edison
Co
5
.900
03/15/36
208,461‌
1,650,000
Commonwealth
Edison
Co
2
.750
09/01/51
1,066,213‌
740,000
Consumers
Energy
Co
2
.650
08/15/52
474,166‌
1,750,000
Consumers
Energy
Co
4
.200
09/01/52
1,497,325‌
755,000
Dominion
Energy,
Inc
2
.250
08/15/31
608,260‌
3,375,000
Dominion
Energy,
Inc
3
.300
04/15/41
2,505,851‌
750,000
DTE
Electric
Co
3
.650
03/01/52
584,122‌
875,000
DTE
Electric
Co
5
.400
04/01/53
903,047‌
250,000
Duke
Energy
Corp
3
.300
06/15/41
184,152‌
875,000
Duke
Energy
Corp
3
.750
09/01/46
661,870‌
5,000,000
Duke
Energy
Florida
LLC
3
.400
10/01/46
3,734,683‌
243
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
2,525,000
g
Empresas
Publicas
de
Medellin
ESP
4
.250
%
07/18/29
$
1,987,679‌
3,900,000
g
EnfraGen
Energia
Sur
S.A.
5
.375
12/30/30
2,535,000‌
3,450,000
g
Eskom
Holdings
SOC
Ltd
8
.450
08/10/28
3,272,573‌
6,775,000
Exelon
Corp
4
.050
04/15/30
6,331,079‌
2,025,000
g
Ferrellgas
Escrow
LLC
5
.375
04/01/26
1,883,438‌
2,225,000
g
Ferrellgas
Escrow
LLC
5
.875
04/01/29
1,864,095‌
3,225,000
Florida
Power
&
Light
Co
4
.800
05/15/33
3,201,766‌
1,270,000
Florida
Power
&
Light
Co
3
.990
03/01/49
1,070,492‌
UGX
6,000,000,000
†,g
ICBC
Standard
Bank
plc
14
.250
06/26/34
1,474,986‌
750,000
Indiana
Michigan
Power
Co
3
.750
07/01/47
585,738‌
1,140,000
Indiana
Michigan
Power
Co
3
.250
05/01/51
793,620‌
2,000,000
g
Israel
Electric
Corp
Ltd
4
.250
08/14/28
1,863,180‌
1,250,000
g
Israel
Electric
Corp
Ltd
3
.750
02/22/32
1,066,250‌
1,525,000
g
Kallpa
Generacion
SA
4
.125
08/16/27
1,424,198‌
2,400,000
g
Korea
Southern
Power
Co
Ltd
0
.750
01/27/26
2,122,580‌
2,500,000
Medtronic
Global
Holdings
S.C.A
4
.250
03/30/28
2,440,068‌
775,000
MidAmerican
Energy
Co
3
.650
04/15/29
719,713‌
1,550,000
MidAmerican
Energy
Co
3
.650
08/01/48
1,193,326‌
1,000,000
Nevada
Power
Co
5
.450
05/15/41
960,946‌
5,440,000
NextEra
Energy
Capital
Holdings,
Inc
2
.250
06/01/30
4,524,556‌
50,000
g
NextEra
Energy
Operating
Partners
LP
4
.250
09/15/24
47,750‌
8,135,000
NiSource,
Inc
1
.700
02/15/31
6,360,517‌
1,400,000
Northern
States
Power
Co
3
.600
09/15/47
1,100,838‌
1,955,000
g
NRG
Energy,
Inc
2
.450
12/02/27
1,647,494‌
1,350,000
NRG
Energy,
Inc
5
.750
01/15/28
1,279,328‌
1,905,000
g
NRG
Energy,
Inc
7
.000
03/15/33
1,920,783‌
500,000
NSTAR
Electric
Co
3
.950
04/01/30
471,879‌
1,550,000
Ohio
Power
Co
4
.150
04/01/48
1,267,150‌
1,365,000
Ohio
Power
Co
4
.000
06/01/49
1,105,020‌
575,000
ONE
Gas,
Inc
3
.610
02/01/24
566,749‌
600,000
g
Pattern
Energy
Operations
LP
4
.500
08/15/28
547,999‌
825,000
PECO
Energy
Co
3
.000
09/15/49
573,360‌
2,325,000
PECO
Energy
Co
2
.800
06/15/50
1,532,653‌
50,000
Potomac
Electric
Power
Co
7
.900
12/15/38
60,983‌
2,500,000
g
Promigas
S.A.
ESP
3
.750
10/16/29
2,120,101‌
4,000,000
Public
Service
Co
of
Colorado
1
.875
06/15/31
3,189,609‌
550,000
Public
Service
Co
of
Colorado
4
.750
08/15/41
483,008‌
1,410,000
Public
Service
Co
of
Colorado
4
.050
09/15/49
1,143,666‌
1,700,000
Public
Service
Electric
and
Gas
Co
4
.900
12/15/32
1,697,645‌
3,200,000
g
Rumo
Luxembourg
Sarl
4
.200
01/18/32
2,556,000‌
1,994,000
g
Saka
Energi
Indonesia
PT
4
.450
05/05/24
1,944,150‌
8,400,000
Sempra
Energy
4
.875
N/A‡
7,812,573‌
2,217,715
g
Solar
Star
Funding
LLC
3
.950
06/30/35
1,961,379‌
1,325,000
Southern
Co
4
.400
07/01/46
1,133,127‌
75,000
Southern
Co
Gas
Capital
Corp
3
.875
11/15/25
71,916‌
625,000
Southern
Co
Gas
Capital
Corp
4
.400
06/01/43
516,532‌
425,000
Southern
Co
Gas
Capital
Corp
3
.950
10/01/46
327,879‌
550,000
g
Superior
Plus
LP
4
.500
03/15/29
482,141‌
2,815,000
g
Talen
Energy
Supply
LLC
8
.625
06/01/30
2,913,525‌
2,000,000
g
TerraForm
Power
Operating
LLC
4
.750
01/15/30
1,765,000‌
1,542,850
g
UEP
Penonome
II
S.A.
6
.500
10/01/38
1,156,571‌
675,000
Union
Electric
Co
5
.450
03/15/53
687,818‌
650,000
Virginia
Electric
&
Power
Co
2
.950
11/15/26
602,148‌
650,000
Virginia
Electric
&
Power
Co
3
.500
03/15/27
615,150‌
775,000
Virginia
Electric
&
Power
Co
3
.800
09/15/47
605,597‌
850,000
Wisconsin
Power
&
Light
Co
4
.100
10/15/44
678,787‌
1,500,000
Wisconsin
Power
and
Light
Co
4
.950
04/01/33
1,483,524‌
Core
Plus
Bond
Fund
June
30,
2023
244
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
215,000
Xcel
Energy,
Inc
4
.800
%
09/15/41
$
189,658‌
TOTAL
UTILITIES
144,101,042‌
TOTAL
CORPORATE
BONDS
1,749,075,669‌
(Cost
$1,963,098,651)
GOVERNMENT
BONDS
-
36
.9
%
FOREIGN
GOVERNMENT
BONDS
-
2
.4
%
475,000
e,g
African
Export-Import
Bank
2
.634
05/17/26
427,153‌
2,075,000
g
Angolan
Government
International
Bond
8
.750
04/14/32
1,741,506‌
INR
70,000,000
Asian
Development
Bank
6
.200
10/06/26
835,362‌
830,000
g
Bank
Gospodarstwa
Krajowego
5
.375
05/22/33
824,082‌
550,000
g
Banque
Ouest
Africaine
de
Developpement
5
.000
07/27/27
503,257‌
3,000,000
g
Banque
Ouest
Africaine
de
Developpement
4
.700
10/22/31
2,431,500‌
EUR
1,575,000
g
Banque
Ouest
Africaine
de
Developpement
2
.750
01/22/33
1,250,311‌
287,000
g
Barbados
Government
International
Bond
6
.500
10/01/29
268,001‌
1,460,000
g
Bermuda
Government
International
Bond
4
.750
02/15/29
1,426,420‌
1,500,000
g
BNG
Bank
NV
1
.500
10/16/24
1,426,488‌
1,705,000
Brazilian
Government
International
Bond
6
.000
10/20/33
1,685,445‌
1,500,000
Brazilian
Government
International
Bond
4
.750
01/14/50
1,101,492‌
3,575,000
e
Chile
Government
International
Bond
2
.550
01/27/32
3,052,191‌
CNY
3,250,000
China
Government
Bond
3
.270
11/19/30
468,613‌
CNY
3,300,000
China
Government
Bond
3
.810
09/14/50
512,228‌
3,000,000
Colombia
Government
International
Bond
3
.250
04/22/32
2,217,179‌
1,500,000
Colombia
Government
International
Bond
5
.000
06/15/45
1,041,441‌
1,850,000
g
Costa
Rica
Government
International
Bond
5
.625
04/30/43
1,586,041‌
750,000
g
Development
Bank
of
Japan,
Inc
0
.500
03/04/24
724,590‌
DOP
160,000,000
g
Dominican
Republic
Government
International
Bond
12
.000
03/05/32
3,250,204‌
2,250,000
g
Dominican
Republic
Government
International
Bond
4
.875
09/23/32
1,912,261‌
3,725,000
g
Dominican
Republic
Government
International
Bond
6
.500
02/15/48
3,209,399‌
170,283
g
Ecuador
Government
International
Bond
0
.000
07/31/30
49,021‌
928,125
g
Ecuador
Government
International
Bond
(Step
Bond)
5
.000
07/31/30
446,269‌
650,162
g
Ecuador
Government
International
Bond
(Step
Bond)
1
.000
07/31/35
224,000‌
EUR
1,400,000
g
Egypt
Government
International
Bond
5
.625
04/16/30
844,013‌
1,500,000
g
Egypt
Government
International
Bond
7
.053
01/15/32
847,260‌
2,475,000
g
Egypt
Government
International
Bond
8
.500
01/31/47
1,308,864‌
2,250,000
g
Egypt
Government
International
Bond
8
.875
05/29/50
1,206,540‌
1,375,000
g
Export-Import
Bank
of
India
3
.875
02/01/28
1,292,486‌
2,000,000
g
Export-Import
Bank
of
India
2
.250
01/13/31
1,615,130‌
2,200,000
g
Ghana
Government
International
Bond
8
.125
03/26/32
934,560‌
600,000
g
Guatemala
Government
Bond
6
.125
06/01/50
549,706‌
2,155,000
g
Hong
Kong
Government
International
Bond
4
.625
01/11/33
2,224,252‌
710,000
g
Hungary
Government
International
Bond
6
.125
05/22/28
720,045‌
725,000
g
Hungary
Government
International
Bond
5
.250
06/16/29
704,127‌
425,000
g
Hungary
Government
International
Bond
2
.125
09/22/31
327,814‌
225,000
Indonesia
Government
International
Bond
3
.550
03/31/32
203,072‌
1,900,000
g
Indonesia
Government
International
Bond
4
.625
04/15/43
1,787,727‌
1,468,750
g
Iraq
Government
International
Bond
5
.800
01/15/28
1,347,578‌
EUR
125,000
g
Ivory
Coast
Government
International
Bond
4
.875
01/30/32
105,946‌
850,417
g
Ivory
Coast
Government
International
Bond
(Step
Bond)
5
.750
12/31/32
791,296‌
3,025,000
Jamaica
Government
International
Bond
8
.000
03/15/39
3,602,866‌
2,500,000
g
Japan
Finance
Organization
for
Municipalities
3
.000
03/12/24
2,454,073‌
950,000
g
Jordan
Government
International
Bond
4
.950
07/07/25
919,277‌
500,000
g
Jordan
Government
International
Bond
7
.500
01/13/29
498,994‌
2,500,000
g
Kenya
Government
International
Bond
7
.000
05/22/27
2,243,750‌
575,000
g
Kenya
Government
International
Bond
6
.300
01/23/34
432,801‌
1,560,000
g
Kommunalbanken
AS.
2
.750
02/05/24
1,534,060‌
445,000
g
Magyar
Export-Import
Bank
Zrt
6
.125
12/04/27
440,552‌
MYR
3,800,000
Malaysia
Government
Bond
3
.828
07/05/34
799,520‌
MXN
18,000,000
Mexican
Bonos
5
.750
03/05/26
961,045‌
MXN
16,300,000
Mexican
Bonos
8
.500
11/18/38
927,492‌
245
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
550,000
Mexico
Government
International
Bond
5
.400
%
02/09/28
$
559,235‌
525,000
e
Mexico
Government
International
Bond
3
.250
04/16/30
467,193‌
1,859,000
Mexico
Government
International
Bond
6
.050
01/11/40
1,879,521‌
3,000,000
Mexico
Government
International
Bond
4
.280
08/14/41
2,467,994‌
500,000
g
Mongolia
Government
International
Bond
5
.125
04/07/26
468,470‌
850,000
g
Morocco
Government
International
Bond
5
.950
03/08/28
856,426‌
1,025,000
g
Morocco
Government
International
Bond
3
.000
12/15/32
809,750‌
2,575,000
g
Morocco
Government
International
Bond
5
.500
12/11/42
2,214,500‌
525,000
g
Morocco
Government
International
Bond
4
.000
12/15/50
352,744‌
850,000
g
Nigeria
Government
International
Bond
8
.375
03/24/29
763,470‌
1,250,000
e,g
Nigeria
Government
International
Bond
7
.375
09/28/33
982,362‌
1,500,000
g
Oman
Government
International
Bond
7
.375
10/28/32
1,646,148‌
2,675,000
g
OPEC
Fund
for
International
Development
4
.500
01/26/26
2,625,579‌
1,800,000
Panama
Bonos
del
Tesoro
3
.362
06/30/31
1,538,100‌
1,475,000
g
Paraguay
Government
International
Bond
5
.400
03/30/50
1,258,207‌
990,000
Philippine
Government
International
Bond
4
.200
03/29/47
850,700‌
1,748,000
Poland
Government
International
Bond
5
.500
04/04/53
1,757,796‌
1,836,781
g
Provincia
de
Buenos
Aires
(Step
Bond)
5
.250
09/01/37
697,977‌
5,000,000
Republic
of
Italy
Government
International
Bond
4
.000
10/17/49
3,853,150‌
1,500,000
Republic
of
South
Africa
Government
International
Bond
4
.300
10/12/28
1,323,750‌
ZAR
9,000,000
Republic
of
South
Africa
Government
International
Bond
7
.000
02/28/31
382,498‌
ZAR
9,300,000
Republic
of
South
Africa
Government
International
Bond
8
.750
01/31/44
361,599‌
2,150,000
Republic
of
South
Africa
Government
International
Bond
5
.375
07/24/44
1,526,500‌
UZS
5,320,000,000
g
Republic
of
Uzbekistan
International
Bond
14
.500
11/25/23
458,556‌
2,150,000
g
Republic
of
Uzbekistan
International
Bond
4
.750
02/20/24
2,125,920‌
UZS
5,708,925,000
g
Republic
of
Uzbekistan
International
Bond
14
.000
07/19/24
483,974‌
1,820,000
g
Romanian
Government
International
Bond
3
.000
02/27/27
1,647,100‌
1,000,000
g
Romanian
Government
International
Bond
5
.250
11/25/27
974,560‌
1,425,000
g
Romanian
Government
International
Bond
4
.000
02/14/51
1,015,312‌
3,150,000
g
Rwanda
International
Government
Bond
5
.500
08/09/31
2,365,946‌
2,000,000
g
Saudi
Government
International
Bond
3
.750
01/21/55
1,509,280‌
375,000
g
Serbia
Government
International
Bond
6
.500
09/26/33
367,518‌
1,225,000
g
Serbia
International
Bond
2
.125
12/01/30
939,742‌
2,400,000
State
of
Israel
3
.800
05/13/60
1,818,787‌
THB
18,500,000
Thailand
Government
International
Bond
2
.875
12/17/28
534,725‌
THB
18,500,000
Thailand
Government
International
Bond
3
.300
06/17/38
548,056‌
1,250,000
g
Ukraine
Government
International
Bond
6
.876
05/21/31
281,250‌
EUR
475,000
g
Ukraine
Government
International
Bond
4
.375
01/27/32
110,072‌
1,500,000
g
Zambia
Government
International
Bond
8
.500
04/14/24
865,290‌
TOTAL
FOREIGN
GOVERNMENT
BONDS
109,929,057‌
MORTGAGE
BACKED
-
18
.1
%
35,705,243
g,i
Citigroup
Mortgage
Loan
Trust
0
.156
02/25/52
278,951‌
4,002,196
g,i
Citigroup
Mortgage
Loan
Trust
0
.250
02/25/52
49,469‌
4,763,781
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
4
.500
11/01/37
4,672,424‌
1,406,093
i
FHLMC
LIBOR
1
M
+
5.920%
0
.727
03/15/44
117,289‌
3,543,539
FHLMC
3
.500
01/15/47
3,130,747‌
2,973,227
i
FHLMC
LIBOR
1
M
+
9.920%
1
.611
06/15/48
2,782,848‌
2,123,310
i
FHLMC
LIBOR
1
M
+
9.840%
1
.531
10/15/48
1,934,569‌
36,122,589
FHLMC
3
.000
11/01/49
32,220,076‌
7,560,392
FHLMC
2
.000
09/25/50
907,536‌
2,745,347
FHLMC
3
.000
10/25/50
1,946,389‌
14,568,146
FHLMC
2
.500
02/25/51
2,222,911‌
3,515,152
FHLMC
2
.500
05/25/51
2,226,130‌
5,869,835
FHLMC
3
.000
11/01/51
5,235,479‌
3,788,115
FHLMC
3
.000
11/01/51
3,367,958‌
728,337
FHLMC
3
.000
11/01/51
652,420‌
1,057,222
FHLMC
3
.000
11/01/51
942,967‌
Core
Plus
Bond
Fund
June
30,
2023
246
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
5,138,854
FHLMC
2
.000
%
02/01/52
$
4,217,463‌
13,003,023
FHLMC
2
.500
02/01/52
11,116,051‌
11,077,727
FHLMC
2
.500
03/01/52
9,468,035‌
3,289,957
FHLMC
4
.000
04/01/52
3,089,911‌
3,895,318
FHLMC
3
.500
05/01/52
3,552,397‌
445,576
FHLMC
3
.500
06/01/52
406,879‌
6,905,815
FHLMC
4
.500
06/01/52
6,640,330‌
6,529,191
FHLMC
4
.500
07/01/52
6,278,485‌
1,389,960
FHLMC
4
.000
08/25/52
1,178,847‌
2,533,939
FHLMC
4
.500
10/25/52
2,297,882‌
3,023,614
FHLMC
5
.500
11/25/52
3,065,690‌
1,542,967
FHLMC
5
.500
02/25/53
1,547,226‌
331
Federal
Home
Loan
Mortgage
Corp
Gold
(FGLMC)
8
.000
01/01/31
330‌
105,024
FGLMC
7
.000
12/01/33
108,946‌
19,967
FGLMC
4
.500
10/01/34
19,654‌
29,136
FGLMC
7
.000
05/01/35
29,761‌
976,136
FGLMC
5
.000
06/01/36
984,236‌
414,085
FGLMC
4
.500
10/01/44
406,442‌
67,121
FGLMC
4
.500
11/01/44
65,874‌
105,425
FGLMC
4
.500
11/01/44
103,467‌
64,143
FGLMC
4
.500
12/01/44
62,951‌
87,910
FGLMC
4
.500
12/01/44
86,277‌
543,146
FGLMC
3
.500
04/01/45
506,170‌
2,000,961
FGLMC
3
.500
08/01/45
1,866,805‌
1,126,990
FGLMC
3
.500
10/01/45
1,049,915‌
1,283,515
FGLMC
4
.500
06/01/47
1,270,594‌
1,286,167
FGLMC
4
.000
09/01/47
1,231,537‌
1,438,496
FGLMC
3
.500
12/01/47
1,332,531‌
7,979,621
FGLMC
4
.500
08/01/48
7,841,713‌
304
Federal
National
Mortgage
Association
(FNMA)
9
.000
11/01/25
304‌
5,634
FNMA
7
.000
05/01/26
5,611‌
16,166
FNMA
7
.000
07/25/26
16,078‌
641
FNMA
7
.500
01/01/29
644‌
334
FNMA
7
.500
02/01/30
338‌
228,544
FNMA
6
.000
04/01/32
229,676‌
975,729
FNMA
3
.500
05/01/32
934,921‌
119,843
FNMA
7
.000
07/01/32
122,674‌
27,957
FNMA
7
.000
07/01/32
28,571‌
28,544
FNMA
4
.500
10/01/33
28,136‌
21,000
FNMA
6
.000
03/01/34
20,919‌
1,288,015
FNMA
5
.000
05/01/35
1,297,183‌
754,326
FNMA
5
.000
10/01/35
759,713‌
566,268
FNMA
5
.000
02/01/36
570,313‌
37,595
FNMA
6
.000
09/01/37
38,267‌
9,879,973
FNMA
4
.000
11/01/37
9,535,861‌
546,663
FNMA
5
.500
11/01/38
560,904‌
399,144
FNMA
5
.500
03/01/39
408,829‌
415,811
FNMA
6
.000
09/01/39
431,255‌
5,501,267
FNMA
3
.000
05/01/40
5,006,754‌
1,849,715
FNMA
3
.500
05/01/40
1,735,704‌
194,678
FNMA
5
.000
09/01/40
196,072‌
360,588
FNMA
5
.000
05/01/41
363,175‌
11,796,610
FNMA
2
.000
03/01/42
9,983,510‌
2,430,978
FNMA
4
.000
09/01/42
2,330,295‌
346,064
i
FNMA
2
.511
12/25/42
163,576‌
2,051,710
i
FNMA
LIBOR
1
M
+
5.950%
0
.800
09/25/43
202,813‌
632,600
FNMA
4
.500
02/01/44
620,181‌
148,108
FNMA
4
.500
03/01/44
146,260‌
5,843,201
FNMA
4
.000
05/01/44
5,594,422‌
577,912
FNMA
4
.500
06/01/44
566,554‌
1,666,525
FNMA
4
.500
10/01/44
1,633,801‌
247
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
452,590
FNMA
5
.000
%
11/01/44
$
455,825‌
445,716
FNMA
4
.000
01/01/45
427,242‌
168,155
FNMA
4
.500
03/01/45
165,046‌
1,293,687
FNMA
3
.500
05/01/45
1,205,558‌
594,616
FNMA
3
.500
01/01/46
553,001‌
396,970
FNMA
4
.000
04/01/46
379,584‌
283,880
FNMA
3
.500
06/01/46
264,011‌
3,200,628
FNMA
3
.500
07/01/46
2,976,614‌
3,943,792
FNMA
3
.500
07/01/46
3,687,915‌
73,501
FNMA
3
.000
08/01/46
65,777‌
1,498,830
FNMA
3
.000
10/01/46
1,325,221‌
1,109,756
FNMA
3
.500
10/01/46
1,030,104‌
1,502,456
FNMA
4
.500
05/01/47
1,483,717‌
1,141,838
FNMA
3
.500
11/01/47
1,064,707‌
9,711,535
FNMA
3
.500
01/01/48
8,977,984‌
4,981,565
FNMA
4
.500
01/01/48
4,889,729‌
1,024,216
FNMA
4
.500
02/01/48
1,005,345‌
2,467,132
FNMA
4
.500
05/01/48
2,420,300‌
3,346,295
FNMA
4
.500
05/01/48
3,283,821‌
1,885,493
FNMA
5
.000
08/01/48
1,877,399‌
5,239,107
FNMA
2
.000
08/25/50
719,994‌
3,781,292
FNMA
2
.000
10/25/50
2,552,580‌
13,447,548
FNMA
2
.500
11/25/50
1,913,306‌
4,449,497
FNMA
3
.000
12/25/50
729,735‌
81,751
FNMA
3
.000
02/25/51
14,721‌
31,162,648
FNMA
2
.000
04/01/51
25,515,198‌
3,373,792
FNMA
3
.000
09/01/51
3,001,065‌
5,095,356
FNMA
2
.500
11/25/51
637,099‌
4,496,549
FNMA
2
.000
01/01/52
3,708,428‌
7,897,785
FNMA
2
.000
02/01/52
6,480,422‌
12,411,112
FNMA
2
.500
02/01/52
10,607,631‌
2,002,827
FNMA
2
.500
02/01/52
1,709,692‌
8,854,735
FNMA
2
.500
02/01/52
7,569,746‌
16,023,220
FNMA
3
.500
02/01/52
14,724,919‌
13,874,819
FNMA
3
.000
04/01/52
12,284,731‌
932,040
FNMA
3
.500
04/01/52
849,508‌
12,083,699
FNMA
3
.500
05/01/52
11,013,789‌
27,838,432
FNMA
4
.000
05/01/52
26,139,844‌
1,513,980
FNMA
4
.000
05/25/52
1,214,937‌
11,559,294
FNMA
3
.500
06/01/52
10,557,216‌
11,091,612
FNMA
4
.000
06/01/52
10,414,827‌
3,352,969
FNMA
4
.500
06/01/52
3,224,226‌
4,338,257
FNMA
3
.500
07/01/52
3,954,673‌
21,797,546
FNMA
4
.000
07/01/52
20,467,482‌
31,785,630
FNMA
4
.000
07/01/52
29,836,258‌
2,918,144
FNMA
4
.500
07/01/52
2,806,341‌
1,891,595
FNMA
4
.500
07/01/52
1,818,827‌
17,870,353
FNMA
4
.500
07/01/52
17,184,291‌
3,817,712
FNMA
4
.500
07/25/52
3,509,370‌
27,555,057
FNMA
5
.000
08/01/52
27,028,225‌
2,250,790
FNMA
4
.500
08/25/52
1,966,093‌
9,695,832
FNMA
3
.500
09/01/52
8,838,482‌
29,701,325
FNMA
4
.000
09/01/52
27,876,678‌
59,618,942
FNMA
4
.500
09/01/52
57,328,548‌
6,578,902
FNMA
5
.000
09/01/52
6,451,166‌
1,995,307
FNMA
4
.000
09/25/52
1,790,572‌
1,716,171
FNMA
4
.000
09/25/52
1,441,011‌
32,316,597
FNMA
4
.000
10/01/52
30,334,640‌
9,571,620
FNMA
4
.500
10/01/52
9,203,412‌
10,052,420
FNMA
5
.000
10/01/52
9,854,605‌
1,644,475
FNMA
4
.500
10/25/52
1,574,809‌
Core
Plus
Bond
Fund
June
30,
2023
248
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,877,183
FNMA
4
.500
%
10/25/52
$
1,805,387‌
24,298,384
FNMA
4
.500
11/01/52
23,363,679‌
2,976,937
FNMA
5
.500
11/25/52
2,990,286‌
9,611,146
FNMA
5
.500
12/01/52
9,593,077‌
9,315,006
FNMA
5
.500
02/01/53
9,270,505‌
450,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
3.650%
8
.210
11/25/41
448,496‌
9,205,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
2.400%
7
.467
02/25/42
9,105,543‌
12,500,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.500%
9
.567
06/25/42
13,140,384‌
5,425,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.000%
9
.067
07/25/42
5,594,947‌
50,649
Government
National
Mortgage
Association
(GNMA)
5
.000
02/15/33
50,173‌
73,862
GNMA
5
.000
09/15/33
74,099‌
3,287,130
GNMA
3
.700
10/15/33
3,135,422‌
9,314
GNMA
5
.500
04/15/34
9,400‌
9,614
GNMA
5
.000
04/15/38
9,641‌
3,256,786
GNMA
5
.000
01/20/40
642,133‌
575,469
GNMA
4
.500
02/20/41
571,452‌
3,805,670
GNMA
2
.500
12/20/43
3,366,202‌
1,152,381
GNMA
3
.000
03/20/45
1,010,935‌
850,127
GNMA
4
.500
12/20/45
831,067‌
2,309,301
GNMA
4
.000
06/20/46
295,451‌
3,080,858
i
GNMA
LIBOR
1
M
+
6.100%
0
.943
03/20/50
347,142‌
5,284,722
GNMA
3
.000
11/20/51
3,883,134‌
4,918,247
GNMA
3
.000
01/20/52
3,673,082‌
2,155,439
GNMA
2
.500
02/20/52
1,791,462‌
26,916,832
GNMA
3
.000
05/20/52
24,070,130‌
19,175,563
GNMA
3
.500
07/20/52
17,695,893‌
2,178,296
GNMA
4
.000
07/20/52
1,805,231‌
4,769,296
GNMA
4
.000
08/20/52
4,512,466‌
13,374,520
GNMA
4
.500
08/20/52
12,920,057‌
5,961,562
GNMA
4
.000
09/20/52
5,640,523‌
3,415,765
GNMA
4
.500
09/20/52
3,138,767‌
3,335,491
GNMA
4
.500
09/20/52
3,155,350‌
2,756,305
GNMA
4
.500
09/20/52
2,574,891‌
1,910,495
GNMA
4
.500
09/20/52
1,736,438‌
4,145,491
GNMA
5
.000
11/20/52
4,077,260‌
2,248,412
GNMA
4
.500
02/20/53
2,047,881‌
1,955,443
GNMA
5
.500
02/20/53
1,944,284‌
5,869,159
GNMA
1
.052
05/20/53
253,569‌
5,869,159
GNMA
1
.884
05/20/53
374,510‌
2,000,000
Morgan
Stanley
Capital
I
Trust
3
.779
05/15/48
1,898,231‌
2,491,883
g,i
OBX
3
.000
01/25/52
2,021,741‌
TOTAL
MORTGAGE
BACKED
817,306,194‌
MUNICIPAL
BONDS
-
0
.1
%
3,000,000
g,q
Oregon
State
Business
Development
Commission
6
.500
04/01/31
15,000‌
780,000
g
Oregon
State
Business
Development
Commission
9
.000
04/01/37
3,900‌
4,195,000
Virgin
Islands
Water
&
Power
Authority-Electric
System
10
.000
07/01/24
4,164,016‌
TOTAL
MUNICIPAL
BONDS
4,182,916‌
U.S.
TREASURY
SECURITIES
-
16
.3
%
3,625,000
United
States
Treasury
Note
0
.125
08/31/23
3,595,289‌
2,650,000
United
States
Treasury
Note
2
.500
04/30/24
2,586,752‌
30,000
United
States
Treasury
Note
0
.375
07/15/24
28,492‌
25,000,000
United
States
Treasury
Note
4
.625
06/30/25
24,877,930‌
1,226,000
United
States
Treasury
Note
3
.625
05/15/26
1,196,116‌
11,446,000
United
States
Treasury
Note
3
.500
04/30/28
11,122,293‌
3,565,000
United
States
Treasury
Note
3
.625
05/31/28
3,487,016‌
26,750,000
United
States
Treasury
Note
4
.000
06/30/28
26,603,711‌
1,100,000
United
States
Treasury
Note
1
.375
10/31/28
957,000‌
28,591,000
United
States
Treasury
Note
3
.500
04/30/30
27,760,074‌
25,905,000
United
States
Treasury
Note
3
.750
06/30/30
25,560,949‌
249
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
U.S.
TREASURY
SECURITIES—continued
$
69,920,000
United
States
Treasury
Note
3
.375
%
05/15/33
$
67,429,100‌
23,980,000
United
States
Treasury
Note
2
.250
05/15/41
18,468,347‌
38,000,000
United
States
Treasury
Note
1
.750
08/15/41
26,696,484‌
15,500,000
United
States
Treasury
Note
2
.000
11/15/41
11,345,879‌
154,896,900
j
United
States
Treasury
Note
2
.375
02/15/42
120,595,708‌
1,823,000
United
States
Treasury
Note
3
.250
05/15/42
1,626,743‌
4,800,000
United
States
Treasury
Note
4
.000
11/15/42
4,769,250‌
117,996,000
United
States
Treasury
Note
3
.875
02/15/43
115,046,100‌
10,500,000
e
United
States
Treasury
Note
3
.875
05/15/43
10,245,703‌
135,110,000
j
United
States
Treasury
Note
2
.250
02/15/52
97,638,086‌
121,181,000
United
States
Treasury
Note
3
.625
02/15/53
116,295,891‌
14,500,000
United
States
Treasury
Note
3
.625
05/15/53
13,935,859‌
TOTAL
U.S.
TREASURY
SECURITIES
731,868,772‌
TOTAL
GOVERNMENT
BONDS
1,663,286,939‌
(Cost
$1,803,855,427)
STRUCTURED
ASSETS
-
18
.1
%
ASSET
BACKED
-
5
.6
%
1,138,829
†,g
AASET
Trust
6
.413
01/16/40
148,389‌
Series
-
2020
1A
(Class
C)
6,067,759
g
Adams
Outdoor
Advertising
LP
4
.810
11/15/48
5,716,990‌
Series
-
2018
1
(Class
A)
6,500,000
g
Adams
Outdoor
Advertising
LP
7
.356
11/15/48
5,825,273‌
Series
-
2018
1
(Class
C)
2,500,000
g
Affirm
Asset
Securitization
Trust
2
.540
08/17/26
2,277,906‌
Series
-
2021
B
(Class
D)
1,500,000
g
Affirm
Asset
Securitization
Trust
4
.610
08/17/26
1,317,733‌
Series
-
2021
B
(Class
E)
2,100,000
g,i
AGL
CLO
19
Ltd
SOFR
3
M
+
2.750%
7
.806
07/21/35
2,105,641‌
Series
-
2022
19A
(Class
B1)
3,100,000
g
AMSR
Trust
3
.218
04/17/37
2,879,887‌
Series
-
2020
SFR1
(Class
E)
2,625,000
g
AMSR
Trust
3
.247
01/19/39
2,365,658‌
Series
-
2019
SFR1
(Class
D)
9,000,000
g,i
Apidos
CLO
XXIV
LIBOR
3
M
+
1.350%
6
.600
10/20/30
8,752,806‌
Series
-
2016
24A
(Class
A2LX)
1,000,000
g,i
Apidos
CLO
XXIX
LIBOR
3
M
+
1.550%
6
.805
07/25/30
979,987‌
Series
-
2018
29A
(Class
A2)
4,495,067
g
Apollo
aviation
securitization
2
.798
01/15/47
3,814,064‌
Series
-
2021
2A
(Class
A)
1,712,700
g
Applebee's
Funding
LLC
4
.723
06/05/49
1,576,443‌
Series
-
2019
1A
(Class
A2II)
1,910,000
g
Avis
Budget
Rental
Car
Funding
AESOP
LLC
4
.240
09/22/25
1,854,526‌
Series
-
2019
2A
(Class
C)
3,100,000
g
Avis
Budget
Rental
Car
Funding
AESOP
LLC
2
.130
08/20/27
2,677,528‌
Series
-
2021
1A
(Class
C)
5,075,000
g
Avis
Budget
Rental
Car
Funding
AESOP
LLC
4
.080
02/20/28
4,257,420‌
Series
-
2021
2A
(Class
D)
1,000,000
g,i
Bonanza
RE
Ltd
U.S.
Treasury
Bill
3
M
+
4.870%
10
.148
12/23/24
859,300‌
Series
-
2020
A
(Class
A)
2,625,000
g,i
Boyce
Park
Clo
Ltd
CME
Term
SOFR
3
Month
+
3.100%
8
.156
04/21/35
2,462,300‌
Series
-
2022
1A
(Class
D)
1,391,675
g
BRE
Grand
Islander
Timeshare
Issuer
LLC
3
.280
09/26/33
1,307,290‌
Series
-
2019
A
(Class
A)
540,948
g
British
Airways
Pass
Through
Trust
8
.375
11/15/28
544,782‌
Series
-
2020
A
(Class
A)
2,041,235
g
British
Airways
Pass
Through
Trust
3
.800
09/20/31
1,857,145‌
Series
-
2018
1
(Class
AA)
5,100,000
g
Capital
Automotive
REIT
4
.520
02/15/50
4,493,579‌
Series
-
2020
1A
(Class
B2)
Core
Plus
Bond
Fund
June
30,
2023
250
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
3,161,414
g
Capital
Automotive
REIT
1
.920
%
08/15/51
$
2,706,427‌
Series
-
2021
1A
(Class
A3)
2,468,750
g
Cars
Net
Lease
Mortgage
Notes
Series
3
.100
12/15/50
2,091,789‌
Series
-
2020
1A
(Class
A3)
2,500,000
g
Cars
Net
Lease
Mortgage
Notes
Series
4
.690
12/15/50
2,133,324‌
Series
-
2020
1A
(Class
B1)
1,250,000
g,i
Cayuga
Park
CLO
Ltd
LIBOR
3
M
+
6.000%
1
.000
07/17/34
1,102,450‌
Series
-
2020
1A
(Class
ER)
527,357
i
C-BASS
Trust
LIBOR
1
M
+
0.160%
3
.075
07/25/36
500,044‌
Series
-
2006
CB6
(Class
A1)
6,451,318
g,i
CBRE
Realty
Finance
LIBOR
3
M
+
0.300%
5
.200
04/07/52
16,128‌
Series
-
2007
1A
(Class
A2)
8,038
Centex
Home
Equity
5
.540
01/25/32
7,751‌
Series
-
2002
A
(Class
AF6)
6,296,164
g
CF
Hippolyta
LLC
2
.280
07/15/60
5,623,279‌
Series
-
2020
1
(Class
B1)
2,806,290
g
CF
Hippolyta
LLC
2
.600
07/15/60
2,325,426‌
Series
-
2020
1
(Class
B2)
10,131,311
g
CF
Hippolyta
LLC
1
.530
03/15/61
8,777,381‌
Series
-
2021
1A
(Class
A1)
8,482,028
g
CF
Hippolyta
LLC
1
.980
03/15/61
7,177,462‌
Series
-
2021
1A
(Class
B1)
4,375,000
g,i
CIFC
Funding
LIBOR
3
M
+
1.450%
6
.710
04/15/34
4,224,688‌
Series
-
2021
2A
(Class
B)
1,500,000
g,i
CIFC
Funding
Ltd
LIBOR
3
M
+
2.562%
7
.560
01/17/35
1,450,994‌
Series
-
2014
4RA
(Class
BR)
3,360,000
g
Cologix
Data
Centers
US
Issuer
LLC
3
.300
12/26/51
2,975,436‌
Series
-
2021
1A
(Class
A2)
18,184
Countrywide
Asset-Backed
Certificates
(Step
Bond)
5
.216
10/25/27
14,547‌
Series
-
2002
S4
(Class
A5)
9,850,000
g
Crescendo
Royalty
Funding
LP
3
.567
12/20/51
8,832,725‌
Series
-
2021
1
(Class
A)
4,316,813
g
DB
Master
Finance
LLC
4
.021
05/20/49
4,024,189‌
Series
-
2019
1A
(Class
A2II)
3,128,125
g
DB
Master
Finance
LLC
4
.352
05/20/49
2,855,174‌
Series
-
2019
1A
(Class
A23)
2,339,375
g
DB
Master
Finance
LLC
2
.045
11/20/51
2,035,850‌
Series
-
2021
1A
(Class
A2I)
6,796,500
g
DB
Master
Finance
LLC
2
.493
11/20/51
5,745,802‌
Series
-
2021
1A
(Class
A2II)
806,755
g
Diamond
Resorts
Owner
Trust
2
.700
11/21/33
730,452‌
Series
-
2021
1A
(Class
C)
420,185
g
Diamond
Resorts
Owner
Trust
3
.830
11/21/33
377,767‌
Series
-
2021
1A
(Class
D)
4,600,200
g
Domino's
Pizza
Master
Issuer
LLC
4
.474
10/25/45
4,385,835‌
Series
-
2015
1A
(Class
A2II)
1,528,000
g
Domino's
Pizza
Master
Issuer
LLC
4
.116
07/25/48
1,447,073‌
Series
-
2018
1A
(Class
A2I)
509,606
g,i
Ellington
Loan
Acquisition
Trust
LIBOR
1
M
+
1.100%
6
.250
05/25/37
503,417‌
Series
-
2007
2
(Class
A2C)
1,110,000
g
Flexential
Issuer,
LLC
3
.250
11/27/51
968,003‌
Series
-
2021
1A
(Class
A2)
775,000
g,i
GRACIE
POINT
INTERNATIONAL
FUNDING
30
D
AVG
SOFR
+
5.500%
10
.565
07/01/24
775,452‌
Series
-
2022
2A
(Class
D)
1,550,000
g,i
GRACIE
POINT
INTERNATIONAL
FUNDING
30
D
AVG
SOFR
+
7.000%
12
.065
07/01/24
1,550,772‌
Series
-
2022
2A
(Class
E)
241,933
g
HERO
Funding
Trust
3
.280
09/20/48
208,048‌
Series
-
2017
2A
(Class
A1)
483,865
g
HERO
Funding
Trust
4
.070
09/20/48
426,172‌
Series
-
2017
2A
(Class
A2)
251
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
5,025,000
g
Hertz
Vehicle
Financing
LLC
2
.050
%
12/26/25
$
4,671,521‌
Series
-
2021
1A
(Class
C)
3,750,000
g
HIFI
A2
3
.939
02/01/62
3,423,632‌
Series
-
2022
1A
(Class
A2)
271,020
g
Hilton
Grand
Vacations
Trust
2
.660
12/26/28
267,535‌
Series
-
2017
AA
(Class
A)
451,700
g
Hilton
Grand
Vacations
Trust
2
.960
12/26/28
444,676‌
Series
-
2017
AA
(Class
B)
521,518
g
Hilton
Grand
Vacations
Trust
4
.000
02/25/32
497,105‌
Series
-
2018
AA
(Class
C)
1,280,814
g
Hilton
Grand
Vacations
Trust
2
.840
07/25/33
1,184,560‌
Series
-
2019
AA
(Class
C)
26,627
i
Home
Equity
Asset
Trust
LIBOR
1
M
+
1.500%
6
.360
06/25/33
25,949‌
Series
-
2003
1
(Class
M1)
1,890,775
g
Horizon
Aircraft
Finance
II
Ltd
3
.721
07/15/39
1,614,695‌
Series
-
2019
1
(Class
A)
7,742,769
g
Horizon
Aircraft
Finance
III
Ltd
3
.425
11/15/39
6,116,787‌
Series
-
2019
2
(Class
A)
3,000,000
†,g
Industrial
DPR
Funding
Ltd
5
.380
04/15/34
2,546,850‌
Series
-
2022
1A
(Class
1)
499,977
g,i
Invitation
Homes
Trust
LIBOR
1
M
+
1.250%
6
.396
01/17/38
497,381‌
Series
-
2018
SFR4
(Class
B)
1,000,000
g,i
Kendall
Re
Ltd
U.S.
Treasury
Bill
3
M
+
4.000%
4
.040
05/02/24
975,300‌
Series
-
2020
A
(Class
A)
2,426,369
g
Lunar
Structured
Aircraft
Portfolio
Notes
5
.682
10/15/46
2,084,785‌
Series
-
2021
1
(Class
C)
4,000,000
g,i
Madison
Park
Funding
LIX
Ltd
LIBOR
3
M
+
2.100%
7
.362
01/18/34
3,893,940‌
Series
-
2021
59A
(Class
C)
1,000,000
g,i
Madison
Park
Funding
XXXVI
Ltd
CME
Term
SOFR
3
Month
+
3.500%
5
.981
04/15/35
956,318‌
Series
-
2019
36A
(Class
D1R)
3,500,000
g,i
Magnetite
XXIII
Ltd
LIBOR
3
M
+
2.050%
7
.305
01/25/35
3,359,423‌
Series
-
2019
23A
(Class
CR)
1,000,000
g,i
Magnetite
XXIII
Ltd
LIBOR
3
M
+
6.300%
7
.484
01/25/35
975,137‌
Series
-
2019
23A
(Class
ER)
2,078,604
g
MAPS
Trust
2
.521
06/15/46
1,792,318‌
Series
-
2021
1A
(Class
A)
414,360
Mid-State
Capital
Trust
5
.745
01/15/40
404,060‌
Series
-
2005
1
(Class
A)
800,000
g,i
MSCG
Trust
3
.577
06/07/35
689,991‌
Series
-
2015
ALDR
(Class
C)
4,310,000
g,i
MSCG
Trust
3
.577
06/07/35
3,587,962‌
Series
-
2015
ALDR
(Class
D)
1,162,088
g
MVW
LLC
2
.230
05/20/39
1,025,980‌
Series
-
2021
2A
(Class
C)
638,792
g
MVW
Owner
Trust
3
.900
01/21/36
616,426‌
Series
-
2018
1A
(Class
C)
656,106
g
MVW
Owner
Trust
3
.330
11/20/36
615,288‌
Series
-
2019
1A
(Class
C)
1,180,000
g,i
Myers
Park
CLO
Ltd
LIBOR
3
M
+
1.600%
6
.850
10/20/30
1,153,306‌
Series
-
2018
1A
(Class
B1)
1,500,000
g
NBC
Funding
LLC
4
.970
07/30/51
1,255,977‌
Series
-
2021
1
(Class
B)
1,000,000
g,i
Neuberger
Berman
CLO
Ltd
CME
Term
SOFR
3
Month
+
3.200%
8
.268
04/25/36
930,887‌
Series
-
2022
48A
(Class
D)
1,000,000
g
Oak
Street
Investment
Grade
Net
Lease
Fund
Series
4
.230
01/20/51
891,738‌
Series
-
2021
1A
(Class
B1)
1,000,000
g,i
Palmer
Square
CLO
Ltd
LIBOR
3
M
+
2.950%
5
.462
01/15/35
935,498‌
Series
-
2021
3A
(Class
D)
Core
Plus
Bond
Fund
June
30,
2023
252
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
2,500,000
g,i
Palmer
Square
CLO
Ltd
CME
Term
SOFR
3
Month
+
3.050%
8
.098
%
04/20/35
$
2,348,798‌
Series
-
2022
1A
(Class
D)
600,000
g
Progress
Residential
Trust
2
.711
11/17/40
491,430‌
Series
-
2021
SFR9
(Class
D)
1,000,000
g
Purchasing
Power
Funding
LLC
4
.370
10/15/25
940,275‌
Series
-
2021
A
(Class
D)
5,226,927
g
Purewest
Funding
LLC
4
.091
12/22/36
4,933,005‌
Series
-
2021
1
(Class
A1)
14,063
†,g,q
Putnam
RE
PTE
Ltd
10
.825
06/07/24
1‌
Series
-
2020
A
(Class
A)
500,000
g,i
Residential
Reinsurance
2021
Ltd
U.S.
Treasury
Bill
3
M
+
2.500%
7
.768
06/06/25
458,250‌
Series
-
2020
A
(Class
A)
500,000
g,i
Residential
Reinsurance
2021
Ltd
U.S.
Treasury
Bill
3
M
+
3.590%
8
.858
06/06/25
452,500‌
Series
-
2020
A
(Class
A)
2,400,000
g,i
Sanders
RE
II
Ltd
U.S.
Treasury
Bill
3
M
+
3.250%
7
.980
04/07/25
2,294,400‌
Series
-
2020
A
(Class
A)
2,333,361
g
Settlement
Fee
Finance
LLC
3
.840
11/01/49
2,276,704‌
Series
-
2019
1A
(Class
A)
387,734
g
Sierra
Timeshare
Receivables
Funding
LLC
3
.650
06/20/35
385,677‌
Series
-
2018
2A
(Class
B)
191,995
g
Sierra
Timeshare
Receivables
Funding
LLC
4
.540
05/20/36
182,138‌
Series
-
2019
2A
(Class
D)
1,487,216
g
Sierra
Timeshare
Receivables
Funding
LLC
1
.790
11/20/37
1,363,229‌
Series
-
2021
1A
(Class
C)
236,839
†,g
SolarCity
LMC
4
.800
11/20/38
223,955‌
Series
-
2013
1
(Class
A)
5,875,000
g
Stack
Infrastructure
Issuer
LLC
1
.877
03/26/46
5,140,659‌
Series
-
2021
1A
(Class
A2)
2,641,161
g
START
Ireland
5
.095
03/15/44
2,048,933‌
Series
-
2019
1
(Class
B)
4,557
i
Structured
Asset
Investment
Loan
Trust
LIBOR
1
M
+
0.900%
6
.050
09/25/34
4,478‌
Series
-
2004
8
(Class
M1)
7,144,000
g
Taco
Bell
Funding
LLC
4
.970
05/25/46
6,863,748‌
Series
-
2016
1A
(Class
A23)
3,820,000
g
Taco
Bell
Funding
LLC
4
.940
11/25/48
3,601,408‌
Series
-
2018
1A
(Class
A2II)
4,575,325
g
Taco
Bell
Funding
LLC
1
.946
08/25/51
3,933,498‌
Series
-
2021
1A
(Class
A2I)
4,846,200
g
Taco
Bell
Funding
LLC
2
.294
08/25/51
3,978,735‌
Series
-
2021
1A
(Class
A2II)
2,500,000
g,i
TCW
CLO
Ltd
LIBOR
3
M
+
6.860%
6
.985
07/25/34
2,254,565‌
Series
-
2021
2A
(Class
E)
475,000
g
Tricon
American
Homes
Trust
2
.049
07/17/38
424,138‌
Series
-
2020
SFR1
(Class
B)
3,921,655
United
Airlines
Pass
Through
Trust
3
.700
03/01/30
3,394,201‌
Series
-
2018
1
(Class
A)
450,000
g,i
Ursa
Re
II
Ltd
U.S.
Treasury
Bill
3
M
+
3.940%
9
.208
12/07/23
446,805‌
Series
-
2020
A
(Class
AA)
5,612,245
g
Vine
2
.790
11/15/50
4,873,624‌
Series
-
2020
1A
(Class
A)
1,723,988
g
Vine
6
.420
11/15/50
1,573,472‌
Series
-
2020
1A
(Class
C)
2,000,000
g,i
Vitality
Re
XII
Ltd
U.S.
Treasury
Bill
3
M
+
2.250%
2
.250
01/07/25
1,987,800‌
Series
-
2020
A
(Class
A)
2,888,953
g
Vivint
Colar
Financing
V
LLC
7
.370
04/30/48
2,643,862‌
Series
-
2018
1A
(Class
B)
6,615,000
g
Wendys
Funding
LLC
3
.884
03/15/48
5,986,191‌
Series
-
2018
1A
(Class
A2II)
253
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
5,693,800
g
Wendy's
Funding
LLC
2
.370
%
06/15/51
$
4,708,408‌
Series
-
2021
1A
(Class
A2I)
TOTAL
ASSET
BACKED
251,718,416‌
OTHER
MORTGAGE
BACKED
-
12
.5
%
166,874
g,i
Agate
Bay
Mortgage
Trust
3
.500
09/25/45
148,889‌
Series
-
2015
6
(Class
A9)
20,593
Alternative
Loan
Trust
5
.250
11/25/33
19,224‌
Series
-
2003
J3
(Class
1A3)
1,500,000
g,i
Ashford
Hospitality
Trust
LIBOR
1
M
+
1.850%
7
.169
06/15/35
1,437,314‌
Series
-
2018
KEYS
(Class
C)
1,500,000
i
BANK
4
.088
11/15/50
1,269,708‌
Series
-
2017
BNK8
(Class
B)
3,750,000
g
BANK
2
.500
10/17/52
2,121,881‌
Series
-
2019
BN21
(Class
D)
1,000,000
BANK
3
.093
10/17/52
831,573‌
Series
-
2019
BN21
(Class
AS)
1,000,000
BANK
3
.455
12/15/52
805,249‌
Series
-
2019
BN23
(Class
B)
2,000,000
BANK
1
.925
12/15/53
1,544,205‌
Series
-
2020
BN30
(Class
A4)
4,000,000
i
BANK
6
.260
04/15/56
4,074,016‌
Series
-
2023
5YR1
(Class
A3)
1,631,805
g,i
Bayview
MSR
Opportunity
Master
Fund
Trust
3
.000
10/25/51
1,320,886‌
Series
-
2021
6
(Class
A19)
4,500,000
g,i
BBCMS
Mortgage
Trust
4
.409
08/05/38
3,033,638‌
Series
-
2018
CHRS
(Class
E)
1,769,000
g,i
Benchmark
Mortgage
Trust
2
.791
09/15/48
1,419,792‌
Series
-
2020
IG2
(Class
AM)
2,800,000
g,i
Benchmark
Mortgage
Trust
3
.233
09/15/48
2,306,478‌
Series
-
2020
IG3
(Class
AS)
5,000,000
g,i
Benchmark
Mortgage
Trust
3
.654
09/15/48
4,285,132‌
Series
-
2020
IG3
(Class
BXA)
1,100,000
Benchmark
Mortgage
Trust
4
.267
03/15/52
982,511‌
Series
-
2019
B9
(Class
AS)
3,600,000
i
Benchmark
Mortgage
Trust
4
.510
05/15/53
3,390,954‌
Series
-
2018
B7
(Class
A4)
9,100,000
g
Benchmark
Mortgage
Trust
4
.139
07/15/53
7,847,351‌
Series
-
2020
B18
(Class
AGNF)
6,500,000
i
Benchmark
Mortgage
Trust
2
.563
02/15/54
4,168,688‌
Series
-
2021
B23
(Class
C)
5,000,000
Benchmark
Mortgage
Trust
2
.224
08/15/54
3,971,019‌
Series
-
2021
B28
(Class
A5)
2,000,000
Benchmark
Mortgage
Trust
5
.626
04/15/56
1,959,395‌
Series
-
2023
B38
(Class
A2)
8,900,885
g,i
BX
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.034%
6
.181
10/15/36
8,849,663‌
Series
-
2019
XL
(Class
A)
4,500,000
g,i
BXP
Trust
2
.868
01/15/44
2,730,530‌
Series
-
2021
601L
(Class
D)
1,800,000
i
CD
Mortgage
Trust
3
.879
11/10/49
1,455,523‌
Series
-
2016
CD2
(Class
B)
1,000,000
i
CD
Mortgage
Trust
4
.112
11/10/49
776,581‌
Series
-
2016
CD2
(Class
C)
1,400,000
i
CD
Mortgage
Trust
4
.697
02/10/50
849,996‌
Series
-
2017
CD3
(Class
C)
220,344
g,i
CF
Mortgage
Trust
2
.840
04/15/25
209,930‌
Series
-
2020
P1
(Class
A1)
10,000,000
g,i
CF
Mortgage
Trust
3
.603
04/15/52
9,031,575‌
Series
-
2020
P1
(Class
A2)
5,000,000
i
CFCRE
Commercial
Mortgage
Trust
3
.502
11/10/49
4,471,917‌
Series
-
2016
C6
(Class
AM)
Core
Plus
Bond
Fund
June
30,
2023
254
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
118,675
Citicorp
Mortgage
Securities,
Inc
5
.500
%
07/25/35
$
111,500‌
Series
-
2005
4
(Class
1A7)
3,400,000
g,i
Citigroup
Commercial
Mortgage
Trust
LIBOR
1
M
+
1.900%
7
.094
10/15/38
3,245,949‌
Series
-
2021
PRM2
(Class
D)
1,129,262
g,i
Citigroup
Commercial
Mortgage
Trust
4
.629
07/10/47
953,569‌
Series
-
2014
GC23
(Class
D)
2,600,000
i
Citigroup
Commercial
Mortgage
Trust
3
.758
04/10/48
2,407,414‌
Series
-
2015
GC29
(Class
B)
1,650,000
i
Citigroup
Commercial
Mortgage
Trust
4
.277
04/10/48
1,493,108‌
Series
-
2015
GC29
(Class
C)
2,717,806
Citigroup
Commercial
Mortgage
Trust
4
.233
04/10/49
2,443,472‌
Series
-
2016
GC37
(Class
B)
1,020,000
Citigroup
Commercial
Mortgage
Trust
3
.018
08/10/56
848,901‌
Series
-
2019
GC41
(Class
AS)
1,000,000
g,i
COMM
Mortgage
Trust
5
.009
08/10/46
992,319‌
Series
-
2013
LC13
(Class
B)
1,091,000
g,i
COMM
Mortgage
Trust
5
.021
08/10/46
1,058,504‌
Series
-
2013
CR10
(Class
C)
3,000,000
g,i
COMM
Mortgage
Trust
5
.436
08/10/46
2,810,348‌
Series
-
2013
LC13
(Class
D)
7,075,000
i
COMM
Mortgage
Trust
4
.729
02/10/47
6,723,358‌
Series
-
2014
CR14
(Class
B)
5,000,000
COMM
Mortgage
Trust
4
.199
03/10/47
4,905,564‌
Series
-
2014
UBS2
(Class
AM)
1,120,000
COMM
Mortgage
Trust
4
.174
05/10/47
1,070,411‌
Series
-
2014
CR17
(Class
AM)
3,006,300
COMM
Mortgage
Trust
4
.377
05/10/47
2,713,225‌
Series
-
2014
CR17
(Class
B)
5,150,000
g,i
COMM
Mortgage
Trust
4
.767
06/10/47
3,522,370‌
Series
-
2014
UBS3
(Class
D)
3,307,500
i
COMM
Mortgage
Trust
4
.456
07/15/47
3,175,345‌
Series
-
2014
CR18
(Class
B)
3,250,000
g,i
COMM
Mortgage
Trust
4
.697
08/10/47
2,782,874‌
Series
-
2014
CR19
(Class
D)
2,500,000
g
COMM
Mortgage
Trust
3
.000
03/10/48
1,839,475‌
Series
-
2015
CR22
(Class
E)
3,340,500
i
COMM
Mortgage
Trust
4
.204
03/10/48
2,991,026‌
Series
-
2015
CR22
(Class
C)
2,600,000
g,i
COMM
Mortgage
Trust
4
.204
03/10/48
2,070,981‌
Series
-
2015
CR22
(Class
D)
2,500,000
i
COMM
Mortgage
Trust
4
.443
05/10/48
1,939,670‌
Series
-
2015
CR23
(Class
D)
2,500,000
i
COMM
Mortgage
Trust
3
.463
08/10/48
1,988,703‌
Series
-
2015
CR24
(Class
D)
2,500,000
i
COMM
Mortgage
Trust
4
.490
08/10/48
2,286,676‌
Series
-
2015
CR24
(Class
B)
3,000,000
i
COMM
Mortgage
Trust
4
.490
08/10/48
2,637,382‌
Series
-
2015
CR24
(Class
C)
3,175,000
i
COMM
Mortgage
Trust
4
.615
10/10/48
2,834,142‌
Series
-
2015
CR26
(Class
C)
2,795,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
1.900%
6
.967
12/25/41
2,726,164‌
Series
-
2022
R01
(Class
1M2)
3,000,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.500%
9
.567
01/25/42
3,017,800‌
Series
-
2022
R02
(Class
2B1)
5,625,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
6.250%
6
.349
03/25/42
6,050,756‌
Series
-
2022
R03
(Class
1B1)
7,555,870
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.100%
8
.167
03/25/42
7,639,175‌
Series
-
2022
R04
(Class
1M2)
5,245,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.500%
8
.567
03/25/42
5,359,100‌
Series
-
2022
R03
(Class
1M2)
255
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
550,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.500%
6
.014
%
04/25/42
$
551,314‌
Series
-
2022
R05
(Class
2B1)
2,475,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.000%
8
.067
04/25/42
2,468,316‌
Series
-
2022
R05
(Class
2M2)
12,900,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.850%
8
.917
05/25/42
13,302,666‌
Series
-
2022
R06
(Class
1M2)
9,165,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.650%
9
.717
06/25/42
9,702,362‌
Series
-
2022
R07
(Class
1M2)
3,565,000
g,i
Connecticut
Avenue
Securities
Trust
SOFR
+
3.600%
8
.667
07/25/42
3,645,339‌
Series
-
2022
R08
(Class
1M2)
5,675,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.750%
9
.817
09/25/42
5,986,613‌
Series
-
2022
R09
(Class
2M2)
7,335,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.750%
8
.817
12/25/42
7,528,662‌
Series
-
2023
R01
(Class
1M2)
24,216
Countrywide
Alternative
Loan
Trust
5
.000
12/25/56
23,634‌
Series
-
2005
6CB
(Class
2A1)
305,557
i
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
4
.030
11/20/34
285,360‌
Series
-
2004
HYB6
(Class
A2)
18,749
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
5
.250
09/25/35
16,829‌
Series
-
2005
17
(Class
1A10)
5,000,000
g,i
CPT
Mortgage
Trust
3
.097
11/13/39
3,109,181‌
Series
-
2019
CPT
(Class
E)
2,032,902
g,i
Credit
Suisse
Mortgage
Capital
Certificates
2
.405
10/25/66
1,644,008‌
Series
-
2021
NQM8
(Class
A3)
3,340,000
CSAIL
Commercial
Mortgage
Trust
3
.505
04/15/50
3,187,460‌
Series
-
2015
C1
(Class
A4)
1,799,583
g,i
CSMC
2
.130
05/25/65
1,173,010‌
Series
-
2021
NQM1
(Class
M1)
1,850,000
g,i
CSMC
Series
3
.388
10/25/59
1,595,318‌
Series
-
2019
NQM1
(Class
M1)
5,065,000
DBJPM
3
.539
05/10/49
4,622,906‌
Series
-
2016
C1
(Class
AM)
3,400,000
g,i
ELP
Commercial
Mortgage
Trust
LIBOR
1
M
+
2.118%
7
.312
11/15/38
3,269,529‌
Series
-
2021
ELP
(Class
E)
866,531
g,i
Flagstar
Mortgage
Trust
4
.013
10/25/47
762,410‌
Series
-
2017
2
(Class
B3)
44,372
g,i
Flagstar
Mortgage
Trust
4
.000
09/25/48
41,000‌
Series
-
2018
5
(Class
A11)
1,313,037
g,i
Flagstar
Mortgage
Trust
2
.500
04/25/51
1,019,428‌
Series
-
2021
2
(Class
A4)
1,737,259
g,i
Flagstar
Mortgage
Trust
2
.500
06/01/51
1,346,626‌
Series
-
2021
4
(Class
A21)
8,604,950
g,i
Flagstar
Mortgage
Trust
3
.000
10/25/51
6,965,391‌
Series
-
2021
10INV
(Class
A17)
300,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
1.500%
6
.567
10/25/41
292,725‌
Series
-
2021
DNA6
(Class
M2)
1,900,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
2.500%
7
.567
01/25/42
1,841,231‌
Series
-
2022
DNA1
(Class
M2)
6,610,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
2.900%
7
.967
04/25/42
6,607,351‌
Series
-
2022
DNA3
(Class
M1B)
1,940,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
5.650%
8
.647
04/25/42
1,993,917‌
Series
-
2022
DNA3
(Class
B1)
930,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
4.350%
9
.417
04/25/42
959,354‌
Series
-
2022
DNA3
(Class
M2)
10,590,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.350%
8
.417
05/25/42
10,721,725‌
Series
-
2022
DNA4
(Class
M1B)
1,560,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.550%
8
.617
08/25/42
1,583,648‌
Series
-
2022
HQA3
(Class
M1B)
6,335,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.700%
8
.767
09/25/42
6,540,114‌
Series
-
2022
DNA6
(Class
M1B)
Core
Plus
Bond
Fund
June
30,
2023
256
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
4,835,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.750%
9
.817
%
02/25/42
$
4,823,885‌
Series
-
2022
DNA2
(Class
B1)
1,000,000
g,i
GS
Mortgage
Securities
Corp
II
LIBOR
1
M
+
3.350%
8
.543
11/15/36
947,479‌
Series
-
2021
ARDN
(Class
E)
2,616,911
g,i
GS
Mortgage
Securities
Trust
4
.285
02/10/46
2,516,472‌
Series
-
2013
GC10
(Class
C)
2,250,000
i
GS
Mortgage
Securities
Trust
4
.113
10/10/49
1,836,437‌
Series
-
2016
GS3
(Class
C)
3,725,000
i
GS
Mortgage
Securities
Trust
4
.078
11/10/49
3,016,698‌
Series
-
2016
GS4
(Class
C)
2,000,000
g
GS
Mortgage
Securities
Trust
3
.000
08/10/50
1,406,163‌
Series
-
2017
GS7
(Class
D)
3,800,000
i
GS
Mortgage
Securities
Trust
4
.158
02/10/52
3,397,899‌
Series
-
2019
GC38
(Class
AS)
1,500,000
i
GS
Mortgage
Securities
Trust
4
.761
02/10/52
1,225,577‌
Series
-
2019
GC38
(Class
C)
1,000,000
i
GS
Mortgage
Securities
Trust
3
.405
02/13/53
796,149‌
Series
-
2020
GC45
(Class
B)
3,000,000
GS
Mortgage
Securities
Trust
2
.012
12/12/53
2,363,630‌
Series
-
2020
GSA2
(Class
A5)
139,409
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
4
.000
11/25/49
129,586‌
Series
-
2019
PJ2
(Class
A4)
53,374
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
4
.000
11/25/49
49,681‌
Series
-
2019
PJ2
(Class
A1)
254,253
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
01/25/51
213,733‌
Series
-
2020
PJ4
(Class
A4)
459,988
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
03/27/51
382,976‌
Series
-
2020
PJ5
(Class
A4)
1,024,614
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
2
.500
05/25/51
794,224‌
Series
-
2020
PJ6
(Class
A4)
39,868,639
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
0
.150
08/25/51
278,877‌
Series
-
2021
PJ3
(Class
AX1)
5,501,859
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
2
.500
10/25/51
4,271,585‌
Series
-
2021
PJ5
(Class
A4)
3,840,124
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
06/25/52
3,098,876‌
Series
-
2022
PJ2
(Class
A36)
273,485
g,i
GS
Mortgage-Backed
Securities
Trust
3
.632
05/25/50
226,196‌
Series
-
2020
PJ1
(Class
B2)
1,239,805
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
07/25/51
961,028‌
Series
-
2021
PJ2
(Class
A4)
7,314,287
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
11/25/51
5,715,163‌
Series
-
2021
PJ6
(Class
A4)
8,626,982
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
01/25/52
6,687,156‌
Series
-
2021
PJ7
(Class
A4)
4,291,736
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
01/25/52
3,326,714‌
Series
-
2021
PJ8
(Class
A4)
1,525,251
g,i
GS
Mortgage-Backed
Securities
Trust
2
.713
01/25/52
1,124,630‌
Series
-
2021
PJ7
(Class
B2)
4,222,718
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
03/25/52
3,273,215‌
Series
-
2021
PJ10
(Class
A4)
2,484,454
g,i
GS
Mortgage-Backed
Securities
Trust
2
.500
05/01/52
2,119,097‌
Series
-
2022
PJ1
(Class
A8)
1,285,235
g,i
GS
Mortgage-Backed
Securities
Trust
2
.823
05/28/52
981,611‌
Series
-
2022
PJ1
(Class
B2)
2,263,081
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
07/25/52
1,831,881‌
Series
-
2022
INV1
(Class
A4)
3,768,605
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
08/26/52
3,050,548‌
Series
-
2022
GR2
(Class
A4)
3,863,872
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
09/25/52
3,127,662‌
Series
-
2022
HP1
(Class
A4)
257
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,640,193
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
%
10/25/52
$
2,130,565‌
Series
-
2022
PJ5
(Class
A36)
2,406,400
g,i
GS
Mortgage-Backed
Securities
Trust
3
.000
01/25/53
1,947,893‌
Series
-
2022
PJ6
(Class
A24)
3,505,096
g,i
GS
Mortgage-Backed
Securities
Trust
3
.500
02/25/53
2,968,176‌
Series
-
2023
PJ1
(Class
A24)
206,067
g
GSMPS
Mortgage
Loan
Trust
7
.500
03/25/35
196,987‌
Series
-
2005
RP2
(Class
1A2)
192,401
g
GSMPS
Mortgage
Loan
Trust
7
.500
09/25/35
187,450‌
Series
-
2005
RP3
(Class
1A2)
271,391
GSR
Mortgage
Loan
Trust
6
.000
01/25/35
240,316‌
Series
-
2005
1F
(Class
3A3)
1,074,802
i
HarborView
Mortgage
Loan
Trust
LIBOR
1
M
+
0.620%
5
.777
08/19/45
986,374‌
Series
-
2005
11
(Class
2A1A)
3,000,000
g,i
Hudson
Yards
Mortgage
Trust
3
.558
07/10/39
2,345,844‌
Series
-
2019
30HY
(Class
D)
2,000,000
g,i
Hudson
Yards
Mortgage
Trust
3
.041
12/10/41
1,449,381‌
Series
-
2019
55HY
(Class
D)
1,490,000
g,i
Hudson
Yards
Mortgage
Trust
3
.041
12/10/41
986,411‌
Series
-
2019
55HY
(Class
F)
56,616
i
Impac
CMB
Trust
LIBOR
1
M
+
0.660%
5
.810
03/25/35
52,872‌
Series
-
2004
11
(Class
2A1)
699,943
g,i
Imperial
Fund
Mortgage
Trust
2
.051
10/25/55
619,709‌
Series
-
2020
NQM1
(Class
A3)
440,000
g,i
Imperial
Fund
Mortgage
Trust
3
.531
10/25/55
364,792‌
Series
-
2020
NQM1
(Class
M1)
4,810,000
g,i
Imperial
Fund
Mortgage
Trust
2
.383
06/25/56
3,153,114‌
Series
-
2021
NQM1
(Class
M1)
31,107
i
JP
Morgan
Alternative
Loan
Trust
LIBOR
1
M
+
0.560%
5
.710
04/25/47
29,282‌
Series
-
2007
S1
(Class
A1)
1,700,000
g,i
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
4
.230
01/15/46
1,460,800‌
Series
-
2013
C13
(Class
D)
2,140,000
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
2
.822
08/15/49
1,947,221‌
Series
-
2016
JP2
(Class
A4)
5,000,000
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
3
.379
09/15/50
4,819,423‌
Series
-
2017
JP7
(Class
A3)
168,657
i
JP
Morgan
Mortgage
Trust
4
.194
11/25/33
163,122‌
Series
-
2006
A2
(Class
5A3)
1,287,622
g,i
JP
Morgan
Mortgage
Trust
LIBOR
1
M
-
0.000%
6
.191
12/25/44
1,223,344‌
Series
-
2015
1
(Class
B1)
67,397
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/45
60,126‌
Series
-
2015
3
(Class
A19)
345,735
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/45
310,135‌
Series
-
2015
6
(Class
A13)
174,232
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/46
154,169‌
Series
-
2016
1
(Class
A13)
202,125
g,i
JP
Morgan
Mortgage
Trust
3
.500
05/25/47
178,417‌
Series
-
2017
2
(Class
A13)
666,081
g,i
JP
Morgan
Mortgage
Trust
3
.500
09/25/48
576,531‌
Series
-
2018
3
(Class
A13)
973,690
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/48
837,214‌
Series
-
2018
5
(Class
A13)
315,739
g,i
JP
Morgan
Mortgage
Trust
3
.500
10/25/48
275,442‌
Series
-
2018
4
(Class
A13)
717,673
g,i
JP
Morgan
Mortgage
Trust
3
.356
10/26/48
687,413‌
Series
-
2017
5
(Class
A2)
867,484
g,i
JP
Morgan
Mortgage
Trust
3
.892
12/25/48
722,081‌
Series
-
2018
6
(Class
B4)
Core
Plus
Bond
Fund
June
30,
2023
258
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
98,849
g,i
JP
Morgan
Mortgage
Trust
4
.000
%
01/25/49
$
90,947‌
Series
-
2018
8
(Class
A13)
131,511
g,i
JP
Morgan
Mortgage
Trust
4
.000
02/25/49
120,455‌
Series
-
2018
9
(Class
A13)
41,577
g,i
JP
Morgan
Mortgage
Trust
4
.000
05/25/49
38,452‌
Series
-
2019
1
(Class
A3)
213,691
g,i
JP
Morgan
Mortgage
Trust
4
.000
05/25/49
196,690‌
Series
-
2019
1
(Class
A15)
412,405
g,i
JP
Morgan
Mortgage
Trust
LIBOR
1
M
+
0.950%
6
.088
10/25/49
398,795‌
Series
-
2019
INV1
(Class
A11)
2,389,119
g,i
JP
Morgan
Mortgage
Trust
3
.833
06/25/50
2,019,155‌
Series
-
2020
1
(Class
B2)
12,723,275
g,i
JP
Morgan
Mortgage
Trust
0
.143
07/25/51
86,428‌
Series
-
2021
3
(Class
AX1)
9,050,191
g,i
JP
Morgan
Mortgage
Trust
0
.132
08/25/51
57,023‌
Series
-
2021
4
(Class
AX1)
1,004,474
g,i
JP
Morgan
Mortgage
Trust
2
.882
08/25/51
766,746‌
Series
-
2021
4
(Class
B2)
17,305,576
g,i
JP
Morgan
Mortgage
Trust
0
.137
10/25/51
112,235‌
Series
-
2021
6
(Class
AX1)
3,094,616
g,i
JP
Morgan
Mortgage
Trust
2
.500
10/25/51
2,402,627‌
Series
-
2021
6
(Class
A15)
2,310,994
g,i
JP
Morgan
Mortgage
Trust
2
.500
11/25/51
1,794,231‌
Series
-
2021
7
(Class
A15)
4,681,485
g,i
JP
Morgan
Mortgage
Trust
0
.400
12/25/51
101,628‌
Series
-
2021
INV2
(Class
AX4)
2,697,452
g,i
JP
Morgan
Mortgage
Trust
2
.500
12/25/51
2,094,273‌
Series
-
2021
8
(Class
A15)
1,035,315
g,i
JP
Morgan
Mortgage
Trust
2
.500
12/25/51
802,518‌
Series
-
2021
10
(Class
A15)
3,944,197
g,i
JP
Morgan
Mortgage
Trust
2
.500
01/25/52
3,057,322‌
Series
-
2021
11
(Class
A15)
1,131,568
g,i
JP
Morgan
Mortgage
Trust
2
.500
02/25/52
877,128‌
Series
-
2021
12
(Class
A15)
4,651,906
g,i
JP
Morgan
Mortgage
Trust
0
.500
04/25/52
124,782‌
Series
-
2021
INV6
(Class
A5X)
2,161,738
g,i
JP
Morgan
Mortgage
Trust
3
.347
04/25/52
1,730,976‌
Series
-
2021
INV6
(Class
B1)
1,383,512
g,i
JP
Morgan
Mortgage
Trust
3
.347
04/25/52
1,080,563‌
Series
-
2021
INV6
(Class
B2)
1,706,075
g,i
JP
Morgan
Mortgage
Trust
2
.500
05/25/52
1,322,454‌
Series
-
2021
14
(Class
A15)
1,133,656
g,i
JP
Morgan
Mortgage
Trust
2
.927
05/25/52
860,865‌
Series
-
2021
LTV2
(Class
A3)
5,801,730
g,i
JP
Morgan
Mortgage
Trust
2
.500
06/25/52
4,497,178‌
Series
-
2021
15
(Class
A15)
6,281,866
g,i
JP
Morgan
Mortgage
Trust
2
.500
07/25/52
4,869,353‌
Series
-
2022
1
(Class
A15)
2,342,530
g,i
JP
Morgan
Mortgage
Trust
3
.250
07/25/52
1,961,412‌
Series
-
2022
LTV1
(Class
A1)
1,644,382
g,i
JP
Morgan
Mortgage
Trust
3
.000
08/25/52
1,331,067‌
Series
-
2022
2
(Class
A25)
6,512,676
g,i
JP
Morgan
Mortgage
Trust
3
.000
08/25/52
5,255,554‌
Series
-
2022
3
(Class
A25)
2,309,509
g,i
JP
Morgan
Mortgage
Trust
3
.000
09/25/52
1,876,974‌
Series
-
2022
INV3
(Class
A6)
4,312,002
g,i
JP
Morgan
Mortgage
Trust
3
.500
09/25/52
3,634,685‌
Series
-
2022
LTV2
(Class
A6)
4,232,917
g,i
JP
Morgan
Mortgage
Trust
3
.000
10/25/52
3,426,391‌
Series
-
2022
4
(Class
A17A)
259
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,320,172
g,i
JP
Morgan
Mortgage
Trust
3
.000
%
11/25/52
$
1,878,094‌
Series
-
2022
6
(Class
A17A)
2,985,491
g,i
JP
Morgan
Mortgage
Trust
3
.000
12/25/52
2,416,645‌
Series
-
2022
7
(Class
1A17)
1,214,394
g,i
JP
Morgan
Mortgage
Trust
5
.000
06/25/53
1,133,134‌
Series
-
2023
1
(Class
A15A)
1,700,152
g,i
JP
Morgan
Mortgage
Trust
5
.500
06/25/53
1,621,254‌
Series
-
2023
1
(Class
A15B)
262,244
JPMBB
Commercial
Mortgage
Securities
Trust
3
.657
09/15/47
257,176‌
Series
-
2014
C23
(Class
ASB)
1,688,355
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.629
09/15/47
1,590,394‌
Series
-
2014
C23
(Class
B)
1,550,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.629
09/15/47
1,441,820‌
Series
-
2014
C23
(Class
C)
5,000,000
JPMBB
Commercial
Mortgage
Securities
Trust
3
.634
02/15/48
4,699,016‌
Series
-
2015
C27
(Class
AS)
3,500,000
JPMBB
Commercial
Mortgage
Securities
Trust
4
.106
08/15/48
3,261,536‌
Series
-
2015
C31
(Class
AS)
6,000,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.776
08/15/48
4,942,145‌
Series
-
2015
C31
(Class
B)
2,500,000
g,i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.359
03/17/49
2,026,221‌
Series
-
2016
C1
(Class
D1)
5,000,000
JPMDB
Commercial
Mortgage
Securities
Trust
2
.536
05/13/53
3,952,269‌
Series
-
2020
COR7
(Class
AS)
10,000,000
g
Liberty
Street
Trust
3
.597
02/10/36
8,968,269‌
Series
-
2016
225L
(Class
A)
297,664
Master
Alternative
Loan
Trust
7
.000
01/25/34
308,805‌
Series
-
2004
1
(Class
3A1)
896,941
g
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
4
.384
12/15/46
798,531‌
Series
-
2014
C19
(Class
LNC2)
3,682,000
i
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
4
.000
12/15/47
3,415,003‌
Series
-
2014
C19
(Class
B)
132,584
i
Morgan
Stanley
Capital
I
Trust
6
.282
12/12/49
56,233‌
Series
-
2007
IQ16
(Class
AJFX)
300,000
Morgan
Stanley
Capital
I
Trust
3
.587
12/15/50
274,304‌
Series
-
2017
HR2
(Class
A4)
2,150,000
i
Morgan
Stanley
Capital
I
Trust
4
.429
07/15/51
1,976,246‌
Series
-
2018
H3
(Class
AS)
1,009,228
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
07/25/51
865,936‌
Series
-
2021
4
(Class
A4)
3,458,328
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
08/25/51
2,680,703‌
Series
-
2021
5
(Class
A9)
3,108,104
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
09/25/51
2,667,393‌
Series
-
2021
6
(Class
A4)
2,791,481
g,i
Morgan
Stanley
Residential
Mortgage
Loan
Trust
2
.500
09/25/51
2,163,800‌
Series
-
2021
6
(Class
A9)
1,500,000
g
MRCD
Mortgage
Trust
2
.718
12/15/36
1,290,668‌
Series
-
2019
PARK
(Class
E)
11,100,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
1.579%
5
.915
07/15/36
10,454,503‌
Series
-
2019
MILE
(Class
A)
3,000,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
3.579%
8
.726
07/15/36
2,478,088‌
Series
-
2019
MILE
(Class
E)
4,500,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
4.329%
9
.476
07/15/36
3,308,606‌
Series
-
2019
MILE
(Class
F)
410,065
g,i
New
Residential
Mortgage
Loan
Trust
2
.797
09/25/59
371,240‌
Series
-
2019
NQM4
(Class
A3)
425,000
g,i
New
Residential
Mortgage
Loan
Trust
2
.986
09/25/59
337,015‌
Series
-
2019
NQM4
(Class
M1)
97,874
i
New
York
Mortgage
Trust
LIBOR
1
M
+
0.480%
5
.630
02/25/36
95,864‌
Series
-
2005
3
(Class
A1)
Core
Plus
Bond
Fund
June
30,
2023
260
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
650,000
g,i
NLT
Trust
2
.569
%
08/25/56
$
423,342‌
Series
-
2021
INV2
(Class
M1)
5,137,307
g,i
OBX
Trust
2
.500
07/25/51
3,982,154‌
Series
-
2021
J2
(Class
A19)
3,951,866
g,i
OBX
Trust
4
.000
10/25/52
3,428,932‌
Series
-
2022
INV5
(Class
A13)
353,336
g,i
OBX
Trust
LIBOR
1
M
+
0.650%
5
.800
06/25/57
335,156‌
Series
-
2018
1
(Class
A2)
1,568,158
g,i
Oceanview
Mortgage
Trust
2
.500
05/25/51
1,217,501‌
Series
-
2021
1
(Class
A19)
1,091,861
g,i
Oceanview
Mortgage
Trust
4
.500
11/25/52
1,005,159‌
Series
-
2022
1
(Class
A1)
5,700,000
g
One
Bryant
Park
Trust
2
.516
09/15/54
4,641,702‌
Series
-
2019
OBP
(Class
A)
2,700,000
g,i
Onslow
Bay
Mortgage
Loan
Trust
2
.451
05/25/61
1,417,811‌
Series
-
2021
NQM2
(Class
M1)
6,471,151
g,i
RCKT
Mortgage
Trust
2
.500
02/25/52
5,038,475‌
Series
-
2022
2
(Class
A22)
1,420,165
g,i
RCKT
Mortgage
Trust
3
.500
06/25/52
1,193,779‌
Series
-
2022
4
(Class
A22)
157,615
g,i
Sequoia
Mortgage
Trust
3
.500
05/25/45
141,325‌
Series
-
2015
2
(Class
A1)
201,740
g,i
Sequoia
Mortgage
Trust
3
.500
06/25/46
179,321‌
Series
-
2016
1
(Class
A19)
591,785
g,i
Sequoia
Mortgage
Trust
3
.500
02/25/47
523,834‌
Series
-
2017
2
(Class
A19)
1,156,262
g,i
Sequoia
Mortgage
Trust
3
.726
09/25/47
1,045,829‌
Series
-
2017
6
(Class
B1)
218,816
g,i
Sequoia
Mortgage
Trust
3
.500
03/25/48
193,888‌
Series
-
2018
3
(Class
A1)
20,611
g,i
Sequoia
Mortgage
Trust
4
.000
09/25/48
18,977‌
Series
-
2018
7
(Class
A19)
109,838
g,i
Sequoia
Mortgage
Trust
4
.000
06/25/49
100,618‌
Series
-
2019
2
(Class
A19)
648,103
g,i
Sequoia
Mortgage
Trust
3
.500
12/25/49
574,052‌
Series
-
2019
5
(Class
A19)
1,817,994
g,i
Sequoia
Mortgage
Trust
3
.000
04/25/50
1,510,661‌
Series
-
2020
3
(Class
A19)
2,475,048
g,i
Sequoia
Mortgage
Trust
2
.500
06/25/51
1,921,601‌
Series
-
2021
4
(Class
A19)
269,699
g,i
Shellpoint
Co-Originator
Trust
3
.500
10/25/47
237,432‌
Series
-
2017
2
(Class
A1)
10,300,000
g
SLG
Office
Trust
2
.851
07/15/41
7,352,725‌
Series
-
2021
OVA
(Class
E)
2,319,312
g,i
SMR
Mortgage
Trust
SOFR
1
M
+
2.400%
7
.547
02/15/39
2,214,302‌
Series
-
2022
IND
(Class
B)
3,500,000
g,i
Spruce
Hill
Mortgage
Loan
Trust
3
.827
01/28/50
3,021,709‌
Series
-
2020
SH1
(Class
B1)
12,859
g,i
Structured
Agency
Credit
Risk
Debt
Note
(STACR)
3
.783
02/25/48
11,916‌
Series
-
2018
SPI1
(Class
M2)
226,398
g,i
STACR
3
.833
05/25/48
215,139‌
Series
-
2018
SPI2
(Class
M2)
219,003
g,i
STACR
3
.833
05/25/48
209,652‌
Series
-
2018
SPI2
(Class
M2B)
428,001
g,i
UBS-Barclays
Commercial
Mortgage
Trust
3
.649
03/10/46
392,561‌
Series
-
2013
C5
(Class
B)
930,000
g,i
Verus
Securitization
Trust
3
.207
11/25/59
811,755‌
Series
-
2019
4
(Class
M1)
437,595
g
Verus
Securitization
Trust
1
.733
05/25/65
395,991‌
Series
-
2020
5
(Class
A3)
261
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
242,684
g
Verus
Securitization
Trust
2
.321
%
05/25/65
$
224,562‌
Series
-
2020
4
(Class
A3)
2,760,566
g,i
Verus
Securitization
Trust
2
.240
10/25/66
2,253,396‌
Series
-
2021
7
(Class
A3)
13,031,000
g,i
Verus
Securitization
Trust
3
.288
11/25/66
9,099,300‌
Series
-
2021
8
(Class
M1)
1,700,000
g,i
VNDO
Trust
4
.033
01/10/35
1,347,228‌
Series
-
2016
350P
(Class
E)
572,182
g
VSE
VOI
Mortgage
LLC
4
.020
02/20/36
546,815‌
Series
-
2018
A
(Class
C)
7,628
i
Washington
Mutual
Mortgage
Pass-Through
Certificates
Trust
5
.794
08/25/38
7,319‌
Series
-
2004
RA3
(Class
2A)
2,000,000
i
Wells
Fargo
Commercial
Mortgage
Trust
4
.286
05/15/48
1,650,911‌
Series
-
2015
NXS1
(Class
D)
1,200,000
g
Wells
Fargo
Commercial
Mortgage
Trust
3
.153
09/15/57
991,237‌
Series
-
2015
NXS3
(Class
D)
76,617
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
4
.000
04/25/49
71,696‌
Series
-
2019
2
(Class
A17)
283,494
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.000
07/25/50
236,754‌
Series
-
2020
4
(Class
A17)
6,740,835
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
2
.500
06/25/51
5,225,120‌
Series
-
2021
2
(Class
A17)
1,273,246
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.000
08/25/51
1,030,646‌
Series
-
2021
INV1
(Class
A17)
7,619,819
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.316
08/25/51
6,046,977‌
Series
-
2021
INV1
(Class
B2)
1,285,541
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
2
.500
12/25/51
996,480‌
Series
-
2022
2
(Class
A18)
1,645,429
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.000
03/25/52
1,331,914‌
Series
-
2022
INV1
(Class
A18)
2,850,168
g,i
Wells
Fargo
Mortgage
Backed
Securities
Trust
3
.500
03/25/52
2,395,827‌
Series
-
2022
INV1
(Class
A17)
3,500,000
i
WFRBS
Commercial
Mortgage
Trust
4
.162
12/15/46
3,448,929‌
Series
-
2013
C18
(Class
A5)
5,277,000
WFRBS
Commercial
Mortgage
Trust
3
.607
11/15/47
5,056,581‌
Series
-
2014
C24
(Class
A5)
81,899
g,i
WinWater
Mortgage
Loan
Trust
3
.919
06/20/44
67,989‌
Series
-
2014
1
(Class
B4)
2,662,578
g,i
Woodward
Capital
Management
3
.000
05/25/52
2,155,259‌
Series
-
2022
3
(Class
A21)
TOTAL
OTHER
MORTGAGE
BACKED
564,451,815‌
TOTAL
STRUCTURED
ASSETS
816,170,231‌
(Cost
$931,257,855)
SHARES
REFERENCERATE
&
SPREAD
COMMON
STOCKS
-
0.0%
ENERGY
-
0
.0
%
1,538
*,†
Cloud
Peak
Energy,
Inc
16‌
TOTAL
ENERGY
16‌
MATERIALS
-
0
.0
%
415,953
*
Petra
Diamonds
Ltd
355,325‌
TOTAL
MATERIALS
355,325‌
TELECOMMUNICATION
SERVICES
-
0
.0
%
4,815
*
Avaya,
Inc
60,187‌
Core
Plus
Bond
Fund
June
30,
2023
262
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
SHARES
DESCRIPTION
REFERENCERATE
&
SPREAD
VALUE
TELECOMMUNICATION
SERVICES—continued
1,010
*,†
Avaya,
Inc
$
9,988‌
TOTAL
TELECOMMUNICATION
SERVICES
70,175‌
TOTAL
COMMON
STOCKS
425,516‌
(Cost
$457,866)
PREFERRED
STOCKS
-
0.1%
FINANCIAL
SERVICES
-
0
.1
%
34,686
e
Morgan
Stanley
851,194‌
139,125
e
Morgan
Stanley
3,611,685‌
TOTAL
FINANCIAL
SERVICES
4,462,879‌
TOTAL
PREFERRED
STOCKS
4,462,879‌
(Cost
$4,394,529)
TOTAL
LONG-TERM
INVESTMENTS
4,371,572,982‌
(Cost
$4,843,801,780)
PRINCIPAL
RATE
MATURITY
DATE
SHORT-TERM
INVESTMENTS
-
2.3%
GOVERNMENT
AGENCY
DEBT
-
0
.1
%
$
5,000,000
Federal
Home
Loan
Bank
(FHLB)
0
.000
%
07/26/23
4,984,590‌
TOTAL
GOVERNMENT
AGENCY
DEBT
4,984,590‌
REPURCHASE
AGREEMENT
-
0
.6
%
24,860,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
07/03/23
24,860,000‌
TOTAL
REPURCHASE
AGREEMENT
24,860,000‌
TREASURY
DEBT
-
1
.6
%
50,000,000
United
States
Treasury
Bill
0
.000
11/02/23
49,118,359‌
25,000,000
e
United
States
Treasury
Bill
0
.000
02/22/24
24,175,963‌
TOTAL
TREASURY
DEBT
73,294,322‌
TOTAL
SHORT-TERM
INVESTMENTS
103,138,912‌
(Cost
$103,277,031)
SHARES
EXP
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
1.5%
68,440,875
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5
.110
68,440,875‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
68,440,875‌
(Cost
$68,440,875)
TOTAL
INVESTMENTS
-
100.9%
4,543,152,769‌
(Cost
$5,015,519,686)
OTHER
ASSETS
&
LIABILITIES,
NET
-
(0.9)%
(
40,455,430‌
)
NET
ASSETS
-
100.0%
$
4,502,697,339‌
263
See
Notes
to
Portfolios
of
Investments
Principal
denominated
in
U.S.
Dollars,
unless
otherwise
noted. 
AVG
Average
CME
Chicago
Mercantile
Exchange
CNY
Chinese
Yuan
D
Day
DOP
Dominican
Republic
Peso
EUR
Euro
INR
Indian
Rupee
LIBOR
London
Interbank
Offered
Rate
M
Month
MXN
Mexican
Peso
MYR
Malaysian
Ringgit
REIT
Real
Estate
Investment
Trust
REMIC
Real
Estate
Mortgage
Investment
Conduit
SOFR
Secure
Overnight
Financing
Rate
THB
Thai
Baht
UGX
Ugandan
Shilling
UZS
Uzbekistani
Som
ZAR
South
African
Rand
*
Non-income
producing
For
fair
value
measurement
disclosure
purposes,
investment
classified
as
Level
3.
Perpetual
security
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$66,587,721.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
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
All
or
a
portion
of
these
securities
have
been
segregated
to
cover
collateral
requirements
on
mortgage
dollar
rolls.
o
Payment
in
Kind
Bond
q
In
default
r
Agreement
with
Fixed
Income
Clearing
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$24,860,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rates
0.500%–3.250%
and
maturity
date
6/30/27,
valued
at
$25,357,209.
Forward
Foreign
Currency
Contracts
Currency
Purchased
Receive
Currency
Sold
Deliver
Counterparty
Settlement
Date
Unrealized
Appreciation
(Depreciation)
$
2,188,207
EUR
1,986,217
Citibank
N.A.
07/14/23
 $
19,281‌
EUR
Euro
Credit
Default
Swaps
-
Centrally
Cleared
PURCHASED
Reference
Entity
Terms
of
Payments
to
be
Paid
Terms
of
Payments
to
be
Received
Counterparty
Fixed
Rate
Payment
Frequency
Maturity
Date
Notional
Amount
*
Value
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
CDX-NAHYS40V1-5Y
5.000%
Credit
event
as
specified
in
contract
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
$
50,000,000‌
$
1,472,906‌
$
1,083,774‌
$
389,132‌
*  
The
maximum
potential
amount
the
Fund
could
be
required
to
pay
as
a
seller
of
credit
protection
or
receive
as
a
buyer
of
credit
protection
if
a
credit
event
occurs
is
defined
under
the
terms
of
that
particular
swap
agreement.
This
amount
may
be
reduced
by
any
recoverable
assets,
if
applicable.
SOLD
Reference
Entity
Terms
of
Payments
to
be
Paid
Terms
of
Payments
to
be
Received
Counterparty
Fixed
Rate
Payment
Frequency
Maturity
Date
Notional
Amount
*
Value
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000%
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
$
60,000,000‌
$
(
1,767,487‌
)
$
(
275,123‌
)
$
(
1,492,365‌
)
Core
Plus
Bond
Fund
June
30,
2023
264
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
SOLD
Reference
Entity
Terms
of
Payments
to
be
Paid
Terms
of
Payments
to
be
Received
Counterparty
Fixed
Rate
Payment
Frequency
Maturity
Date
Notional
Amount*
Value
Premiums
Paid
(Received)
Unrealized
Appreciation
(Depreciation)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
55,000,000‌
(
1,620,196‌
)
(
774,795‌
)
(
845,402‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
40,000,000‌
(
1,178,325‌
)
(
431,013‌
)
(
747,312‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
60,000,000‌
(
1,767,487‌
)
(
425,042‌
)
(
1,342,445‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
1,000,000‌
(
29,458‌
)
(
16,422‌
)
(
13,036‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
19,000,000‌
(
559,704‌
)
(
168,670‌
)
(
391,034‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
14,000,000‌
(
412,414‌
)
(
150,799‌
)
(
261,614‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
25,000,000‌
(
736,453‌
)
(
570,289‌
)
(
166,163‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
18,000,000‌
(
530,246‌
)
(
455,704‌
)
(
74,542‌
)
CDX-NAHYS40V1-5Y
Credit
event
as
specified
in
contract
5.000
Citigroup
Global
Markets,
Inc
Quarterly
06/20/28
14,000,000‌
(
412,414‌
)
(
197,229‌
)
(
215,185‌
)
Total
$
(
9,014,184‌
)
$
(
3,465,085‌
)
$
(
5,549,099‌
)
*  
The
maximum
potential
amount
the
Fund
could
be
required
to
pay
as
a
seller
of
credit
protection
or
receive
as
a
buyer
of
credit
protection
if
a
credit
event
occurs
is
defined
under
the
terms
of
that
particular
swap
agreement.
This
amount
may
be
reduced
by
any
recoverable
assets,
if
applicable.
Portfolio
of
Investments
5-15
Year
Laddered
Tax-Exempt
Bond
Fund
June
30,
2023
265
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
97.1%
LONG-TERM
MUNICIPAL
BONDS
-
97.1%
ALABAMA
-
2
.3
%
$
250,000
Black
Belt
Energy
Gas
District
4
.000
%
12/01/27
$
251,013‌
500,000
City
of
Birmingham
AL
5
.000
12/01/30
548,047‌
630,000
County
of
Mobile
AL
5
.000
02/01/34
701,265‌
2,900,000
Lower
Alabama
Gas
District
4
.000
12/01/50
2,883,883‌
1,000,000
University
of
South
Alabama
5
.000
11/01/31
1,046,038‌
TOTAL
ALABAMA
5,430,246‌
ALASKA
-
0
.2
%
500,000
Alaska
Municipal
Bond
Bank
Authority
5
.000
12/01/31
518,054‌
TOTAL
ALASKA
518,054‌
ARIZONA
-
1
.5
%
2,000,000
Chandler
Industrial
Development
Authority
5
.000
06/01/49
2,015,578‌
150,000
Maricopa
County
Unified
School
District
No
60
Higley
5
.000
06/01/38
163,295‌
190,000
Pinal
County
Electric
District
No
3
5
.000
07/01/33
200,279‌
1,005,000
Salt
River
Project
Agriculture
5
.000
01/01/38
1,077,203‌
TOTAL
ARIZONA
3,456,355‌
ARKANSAS
-
0
.5
%
1,000,000
City
of
Fort
Smith
AR
Water
&
Sewer
Revenue
5
.000
10/01/32
1,082,958‌
TOTAL
ARKANSAS
1,082,958‌
CALIFORNIA
-
2
.9
%
1,090,000
California
County
Tobacco
Securitization
Agency
4
.000
06/01/36
1,102,520‌
365,000
California
Educational
Facilities
Authority
5
.000
12/01/29
387,574‌
1,510,000
California
Health
Facilities
Financing
Authority
5
.000
09/01/33
1,588,009‌
185,000
California
Municipal
Finance
Authority
4
.000
07/15/29
183,186‌
225,000
g
California
Statewide
Communities
Development
Authority
5
.000
12/01/28
230,727‌
1,000,000
City
of
Los
Angeles
Department
of
Airports
5
.000
05/15/36
1,086,433‌
195,000
Long
Beach
Community
College
District
3
.000
08/01/37
174,872‌
415,000
Palmdale
Community
Redevelopment
Agency
5
.000
09/01/31
444,520‌
1,405,000
San
Francisco
City
&
County
Airport
Comm-San
Francisco
International
Airport
5
.000
05/01/31
1,556,914‌
TOTAL
CALIFORNIA
6,754,755‌
COLORADO
-
1
.0
%
590,000
City
&
County
of
Denver
CO
Airport
System
Revenue
5
.000
12/01/31
632,048‌
1,000,000
Colorado
Health
Facilities
Authority
4
.000
11/15/38
1,004,639‌
250,000
Colorado
Health
Facilities
Authority
5
.000
12/01/41
254,420‌
310,000
Denver
Health
&
Hospital
Authority
5
.000
12/01/28
330,098‌
TOTAL
COLORADO
2,221,205‌
CONNECTICUT
-
4
.9
%
1,180,000
Capital
Region
Development
Authority
5
.000
06/15/29
1,273,358‌
765,000
Capital
Region
Development
Authority
5
.000
06/15/33
825,142‌
1,900,000
City
of
Bridgeport
CT
5
.000
06/01/34
2,116,663‌
495,000
Connecticut
State
Health
&
Educational
Facilities
Authority
5
.000
07/01/27
527,120‌
630,000
Connecticut
State
Health
&
Educational
Facilities
Authority
5
.000
07/01/29
639,941‌
330,000
Connecticut
State
Health
&
Educational
Facilities
Authority
5
.000
07/01/30
334,993‌
5-15
Year
Laddered
Tax-Exempt
Bond
Fund
June
30,
2023
266
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
RATE
MATURITY
DATE
VALUE
CONNECTICUT—continued
$
350,000
Connecticut
State
Health
&
Educational
Facilities
Authority
5
.000
%
07/01/32
$
372,076‌
350,000
Connecticut
State
Health
&
Educational
Facilities
Authority
5
.000
07/01/33
371,857‌
1,540,000
State
of
Connecticut
3
.000
01/15/36
1,410,771‌
255,000
State
of
Connecticut
5
.000
11/15/38
288,205‌
1,000,000
State
of
Connecticut
Special
Tax
Revenue
5
.000
05/01/34
1,132,721‌
2,000,000
University
of
Connecticut
5
.000
03/15/28
2,096,257‌
TOTAL
CONNECTICUT
11,389,104‌
DISTRICT
OF
COLUMBIA
-
2
.2
%
955,000
District
of
Columbia
5
.000
04/01/27
1,013,544‌
3,800,000
Metropolitan
Washington
Airports
Authority
Aviation
Revenue
5
.000
10/01/32
4,212,362‌
TOTAL
DISTRICT
OF
COLUMBIA
5,225,906‌
FLORIDA
-
5
.4
%
1,000,000
Alachua
County
Health
Facilities
Authority
5
.000
12/01/31
1,074,142‌
250,000
County
of
Broward
FL
Airport
System
Revenue
5
.000
10/01/28
264,277‌
1,500,000
County
of
Miami-Dade
FL
Aviation
Revenue
4
.000
10/01/36
1,531,245‌
3,000,000
Escambia
County
Health
Facilities
Authority
5
.000
08/15/32
3,170,622‌
1,250,000
g
Florida
Development
Finance
Corp
7
.250
07/01/57
1,271,456‌
305,000
Greater
Orlando
Aviation
Authority
5
.000
10/01/26
316,616‌
795,000
Greater
Orlando
Aviation
Authority
5
.000
10/01/26
833,194‌
175,000
Hillsborough
County
Aviation
Authority
5
.000
10/01/31
187,143‌
190,000
Hillsborough
County
Aviation
Authority
5
.000
10/01/33
202,798‌
400,000
Hillsborough
County
Port
District
5
.000
06/01/29
429,303‌
1,000,000
Hillsborough
County
Port
District
5
.000
06/01/33
1,066,387‌
210,000
Miami-Dade
County
Educational
Facilities
Authority
5
.000
04/01/28
225,617‌
255,000
Miami-Dade
County
Health
Facilities
Authority
4
.000
08/01/37
253,628‌
500,000
Pinellas
County
School
Board
4
.000
07/01/36
518,458‌
500,000
School
District
of
Broward
County
5
.000
07/01/31
522,684‌
540,000
Volusia
County
Educational
Facility
Authority
5
.000
10/15/32
575,341‌
TOTAL
FLORIDA
12,442,911‌
GEORGIA
-
3
.0
%
1,000,000
Dahlonega
Downtown
Development
Authority
4
.000
07/01/37
981,534‌
1,250,000
Dahlonega
Downtown
Development
Authority
4
.000
07/01/38
1,217,610‌
1,000,000
Dahlonega
Downtown
Development
Authority
5
.000
07/01/39
1,043,790‌
1,165,000
Main
Street
Natural
Gas,
Inc
5
.000
06/01/28
1,202,884‌
1,020,000
Main
Street
Natural
Gas,
Inc
4
.000
08/01/49
1,023,063‌
1,500,000
Municipal
Electric
Authority
of
Georgia
5
.000
01/01/62
1,555,463‌
TOTAL
GEORGIA
7,024,344‌
GUAM
-
0
.2
%
200,000
Port
Authority
of
Guam
5
.000
07/01/29
212,008‌
200,000
Port
Authority
of
Guam
5
.000
07/01/30
211,964‌
TOTAL
GUAM
423,972‌
HAWAII
-
0
.4
%
1,000,000
State
of
Hawaii
Airports
System
Revenue
5
.000
07/01/41
1,009,706‌
TOTAL
HAWAII
1,009,706‌
ILLINOIS
-
13
.2
%
1,500,000
Chicago
Board
of
Education
5
.000
12/01/26
1,551,607‌
1,335,000
Chicago
Board
of
Education
4
.000
12/01/27
1,332,594‌
500,000
Chicago
Housing
Authority
5
.000
01/01/33
537,843‌
300,000
Chicago
O'Hare
International
Airport
5
.000
01/01/28
313,139‌
1,000,000
Chicago
O'Hare
International
Airport
5
.000
01/01/32
1,015,893‌
300,000
Chicago
Transit
Authority
5
.000
06/01/28
322,527‌
3,250,000
City
of
Chicago
IL
5
.000
01/01/28
3,439,796‌
1,000,000
City
of
Chicago
IL
4
.000
01/01/35
988,730‌
267
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
RATE
MATURITY
DATE
VALUE
ILLINOIS—continued
$
1,000,000
City
of
Chicago
IL
Wastewater
Transmission
Revenue
5
.000
%
01/01/26
$
1,038,092‌
1,250,000
City
of
Chicago
IL,
GO
5
.000
01/01/29
1,336,454‌
150,000
Cook
County
School
District
No
78
Rosemont
5
.000
12/01/31
171,549‌
1,750,000
County
of
Cook
IL
5
.000
11/15/31
1,840,280‌
1,160,000
County
of
Cook
IL
Sales
Tax
Revenue
5
.000
11/15/36
1,257,519‌
2,000,000
Illinois
Finance
Authority
5
.000
10/01/34
2,070,250‌
700,000
Illinois
State
Toll
Highway
Authority
4
.000
01/01/42
695,089‌
630,000
Illinois
State
Toll
Highway
Authority
4
.000
01/01/46
605,741‌
305,000
Metropolitan
Pier
&
Exposition
Authority
4
.000
06/15/52
274,656‌
2,000,000
Metropolitan
Water
Reclamation
District
of
Greater
Chicago
5
.000
12/01/30
2,124,043‌
1,500,000
Sales
Tax
Securitization
Corp
5
.000
01/01/30
1,607,897‌
2,500,000
Sales
Tax
Securitization
Corp
5
.000
01/01/31
2,744,250‌
2,000,000
State
of
Illinois
5
.000
06/01/28
2,082,709‌
1,500,000
State
of
Illinois
5
.000
03/01/37
1,609,409‌
250,000
Village
of
Broadview
IL
5
.000
12/01/28
265,849‌
200,000
Village
of
Broadview
IL
5
.000
12/01/29
212,854‌
545,000
Village
of
Broadview
IL
5
.000
12/01/30
580,277‌
745,000
Village
of
Broadview
IL
5
.000
12/01/33
795,397‌
TOTAL
ILLINOIS
30,814,444‌
INDIANA
-
0
.6
%
1,365,000
City
of
Whiting
IN
5
.000
12/01/44
1,405,973‌
TOTAL
INDIANA
1,405,973‌
KENTUCKY
-
1
.1
%
1,250,000
Paducah
Electric
Plant
Board
5
.000
10/01/34
1,297,605‌
1,250,000
Paducah
Electric
Plant
Board
5
.000
10/01/35
1,296,059‌
TOTAL
KENTUCKY
2,593,664‌
LOUISIANA
-
1
.4
%
480,000
City
of
New
Orleans
LA
Sewerage
Service
Revenue
4
.000
06/01/36
493,960‌
750,000
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
5
.000
10/01/27
796,905‌
500,000
New
Orleans
Aviation
Board
5
.000
10/01/33
543,636‌
1,250,000
St.
Tammany
Parish
Hospital
Service
District
No
5
.000
07/01/33
1,343,104‌
TOTAL
LOUISIANA
3,177,605‌
MARYLAND
-
0
.9
%
2,000,000
County
of
Baltimore
MD
4
.000
01/01/29
1,994,986‌
TOTAL
MARYLAND
1,994,986‌
MASSACHUSETTS
-
0
.2
%
500,000
Massachusetts
Development
Finance
Agency
5
.000
12/01/29
532,373‌
TOTAL
MASSACHUSETTS
532,373‌
MICHIGAN
-
2
.6
%
500,000
Charlotte
Public
School
District
4
.000
05/01/36
522,677‌
2,000,000
Michigan
Finance
Authority
5
.000
11/15/28
2,088,538‌
1,000,000
Michigan
Finance
Authority
5
.000
12/01/36
1,084,854‌
1,750,000
State
of
Michigan
Trunk
Line
Revenue
5
.000
11/15/30
2,025,265‌
385,000
Wayne
County
Airport
Authority
5
.000
12/01/29
422,435‌
TOTAL
MICHIGAN
6,143,769‌
MINNESOTA
-
0
.7
%
1,055,000
City
of
Minneapolis
MN
5
.000
11/15/33
1,124,083‌
70,000
Duluth
Economic
Development
Authority
5
.000
02/15/33
73,976‌
400,000
Hawley
Independent
School
District
No
150
5
.000
02/01/38
437,248‌
TOTAL
MINNESOTA
1,635,307‌
MISSISSIPPI
-
2
.1
%
1,045,000
Mississippi
Development
Bank
5
.000
03/01/26
1,086,594‌
5-15
Year
Laddered
Tax-Exempt
Bond
Fund
June
30,
2023
268
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
RATE
MATURITY
DATE
VALUE
MISSISSIPPI—continued
$
1,000,000
Mississippi
Development
Bank
5
.000
%
03/01/35
$
1,040,322‌
2,485,000
State
of
Mississippi
5
.000
10/15/33
2,665,631‌
TOTAL
MISSISSIPPI
4,792,547‌
MISSOURI
-
2
.4
%
2,500,000
City
of
Kansas
City
MO
Sanitary
Sewer
System
Revenue
3
.000
01/01/37
2,269,919‌
900,000
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
5
.000
02/15/28
963,280‌
425,000
Missouri
Joint
Municipal
Electric
Utility
Commission
5
.250
12/01/38
467,820‌
1,745,000
St.
Louis
Municipal
Finance
Corp
5
.000
02/15/26
1,808,696‌
TOTAL
MISSOURI
5,509,715‌
NEVADA
-
0
.4
%
1,000,000
Las
Vegas
Redevelopment
Agency
5
.000
06/15/26
1,030,670‌
TOTAL
NEVADA
1,030,670‌
NEW
JERSEY
-
7
.7
%
350,000
Gloucester
County
Improvement
Authority
5
.000
07/01/34
391,418‌
1,000,000
New
Jersey
Economic
Development
Authority
5
.000
06/15/27
1,064,755‌
2,500,000
New
Jersey
Economic
Development
Authority
5
.000
11/01/35
2,704,721‌
1,000,000
New
Jersey
Educational
Facilities
Authority
5
.000
07/01/27
1,050,269‌
1,000,000
New
Jersey
Transportation
Trust
Fund
Authority
5
.000
06/15/29
1,047,186‌
765,000
New
Jersey
Transportation
Trust
Fund
Authority
5
.000
12/15/33
826,644‌
1,120,000
New
Jersey
Transportation
Trust
Fund
Authority
4
.000
06/15/34
1,157,640‌
3,000,000
New
Jersey
Transportation
Trust
Fund
Authority
5
.000
06/15/34
3,241,126‌
1,000,000
New
Jersey
Transportation
Trust
Fund
Authority
4
.000
06/15/36
1,012,723‌
2,500,000
New
Jersey
Transportation
Trust
Fund
Authority
5
.000
06/15/38
2,718,307‌
1,025,000
New
Jersey
Transportation
Trust
Fund
Authority
4
.000
06/15/39
1,011,151‌
500,000
South
Jersey
Port
Corp
5
.000
01/01/48
503,448‌
1,300,000
Toms
River
Board
of
Education
3
.000
07/15/38
1,120,758‌
TOTAL
NEW
JERSEY
17,850,146‌
NEW
YORK
-
6
.3
%
1,000,000
Brooklyn
Arena
Local
Development
Corp
5
.000
07/15/26
1,029,964‌
10,000
Metropolitan
Transportation
Authority
4
.000
11/15/34
10,004‌
1,250,000
Metropolitan
Transportation
Authority
5
.000
11/15/50
1,295,434‌
160,000
New
York
City
Industrial
Development
Agency
3
.000
01/01/46
123,081‌
1,750,000
New
York
State
Dormitory
Authority
5
.000
07/01/33
1,840,891‌
125,000
New
York
State
Dormitory
Authority
5
.000
07/01/38
139,086‌
1,000,000
New
York
State
Urban
Development
Corp
5
.000
03/15/35
1,135,265‌
305,000
New
York
State
Urban
Development
Corp
5
.000
03/15/38
328,702‌
375,000
New
York
Transportation
Development
Corp
5
.000
07/01/30
377,923‌
1,080,000
New
York
Transportation
Development
Corp
4
.000
10/01/30
1,078,652‌
715,000
New
York
Transportation
Development
Corp
5
.000
01/01/36
738,175‌
635,000
New
York
Transportation
Development
Corp
5
.000
12/01/36
666,600‌
505,000
New
York
Transportation
Development
Corp
5
.000
12/01/36
543,435‌
1,500,000
Port
Authority
of
New
York
&
New
Jersey
5
.000
07/15/31
1,647,653‌
1,000,000
Port
Authority
of
New
York
&
New
Jersey
4
.000
11/01/34
1,039,879‌
1,000,000
Port
Authority
of
New
York
&
New
Jersey
5
.000
11/01/35
1,073,100‌
1,625,000
Port
Authority
of
New
York
&
New
Jersey
4
.000
07/15/36
1,662,852‌
TOTAL
NEW
YORK
14,730,696‌
NORTH
CAROLINA
-
0
.7
%
1,000,000
North
Carolina
Capital
Facilities
Finance
Agency
5
.000
05/01/31
1,112,478‌
210,000
North
Carolina
Medical
Care
Commission
4
.000
02/01/36
214,346‌
255,000
North
Carolina
Medical
Care
Commission
3
.000
07/01/36
235,802‌
TOTAL
NORTH
CAROLINA
1,562,626‌
NORTH
DAKOTA
-
0
.4
%
1,000,000
North
Dakota
Housing
Finance
Agency
2
.400
01/01/26
969,567‌
TOTAL
NORTH
DAKOTA
969,567‌
269
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
RATE
MATURITY
DATE
VALUE
OHIO
-
2
.3
%
$
1,000,000
American
Municipal
Power,
Inc
5
.000
%
02/15/34
$
1,093,605‌
240,000
City
of
Toledo
OH
4
.000
12/01/29
249,767‌
250,000
City
of
Toledo
OH
4
.000
12/01/30
260,433‌
200,000
City
of
Toledo
OH
4
.000
12/01/31
207,994‌
1,500,000
County
of
Miami
OH
5
.000
08/01/32
1,610,143‌
725,000
County
of
Montgomery
OH
5
.000
08/01/36
775,469‌
300,000
Lebanon
City
School
District
3
.000
12/01/36
275,944‌
700,000
Miami
University
5
.000
09/01/28
772,685‌
175,000
State
of
Ohio
5
.000
01/15/35
189,228‌
TOTAL
OHIO
5,435,268‌
OKLAHOMA
-
0
.3
%
750,000
Oklahoma
Development
Finance
Authority
5
.000
08/15/28
743,847‌
TOTAL
OKLAHOMA
743,847‌
OREGON
-
0
.5
%
3,000,000
g,q
Oregon
State
Business
Development
Commission
6
.500
04/01/31
15,000‌
1,000,000
q
Oregon
State
Business
Development
Commission
11
.500
04/01/31
10‌
625,000
g
Oregon
State
Business
Development
Commission
9
.000
04/01/37
3,125‌
1,000,000
Tri-County
Metropolitan
Transportation
District
of
Oregon
5
.000
10/01/28
1,087,873‌
TOTAL
OREGON
1,106,008‌
PENNSYLVANIA
-
2
.4
%
1,100,000
Allegheny
County
Higher
Education
Building
Authority
5
.000
03/01/29
1,148,794‌
670,000
Lancaster
County
Career
&
Technology
Center
Authority
4
.000
02/01/30
698,385‌
500,000
Pennsylvania
Economic
Development
Financing
Authority
5
.000
10/15/34
559,953‌
1,500,000
School
District
of
the
City
of
Erie
5
.000
04/01/28
1,621,126‌
500,000
South
Wayne
County
Water
and
Sewer
Authority
4
.000
02/15/37
511,084‌
915,000
Township
of
Northampton
PA
4
.000
05/15/33
934,053‌
TOTAL
PENNSYLVANIA
5,473,395‌
RHODE
ISLAND
-
0
.4
%
825,000
Rhode
Island
Commerce
Corp
5
.000
06/15/27
882,526‌
TOTAL
RHODE
ISLAND
882,526‌
SOUTH
CAROLINA
-
2
.2
%
2,000,000
Center
for
Arts
&
Health
Sciences
Public
Facilities
Corp
4
.000
10/01/37
2,031,862‌
265,000
City
of
Rock
Hill
SC
Combined
Utility
System
Revenue
5
.000
01/01/27
280,569‌
170,000
City
of
Rock
Hill
SC
Combined
Utility
System
Revenue
5
.000
01/01/28
183,427‌
265,000
City
of
Rock
Hill
SC
Combined
Utility
System
Revenue
5
.000
01/01/29
289,795‌
500,000
South
Carolina
Public
Service
Authority
4
.000
12/01/37
498,664‌
890,000
South
Carolina
Public
Service
Authority
4
.000
12/01/40
871,673‌
1,000,000
Spartanburg
Regional
Health
Services
District
4
.000
04/15/37
976,330‌
TOTAL
SOUTH
CAROLINA
5,132,320‌
TENNESSEE
-
3
.3
%
180,000
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facs
Bd
4
.000
05/01/37
180,313‌
1,000,000
Metropolitan
Government
of
Nashville
&
Davidson
County
TN
4
.000
07/01/33
1,035,888‌
1,140,000
Metropolitan
Government
of
Nashville
&
Davidson
County
TN
4
.000
07/01/38
1,155,642‌
2,305,000
Metropolitan
Nashville
Airport
Authority
5
.000
07/01/35
2,482,241‌
755,000
Tennessee
Energy
Acquisition
Corp
4
.000
11/01/49
751,054‌
2,000,000
Tennessee
Energy
Acquisition
Corp
5
.000
05/01/53
2,069,959‌
TOTAL
TENNESSEE
7,675,097‌
TEXAS
-
13
.1
%
350,000
Atascosa
County
Industrial
Development
Corp
5
.000
12/15/28
383,738‌
350,000
Atascosa
County
Industrial
Development
Corp
5
.000
12/15/29
389,113‌
5-15
Year
Laddered
Tax-Exempt
Bond
Fund
June
30,
2023
270
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
RATE
MATURITY
DATE
VALUE
TEXAS—continued
$
400,000
Atascosa
County
Industrial
Development
Corp
5
.000
%
12/15/30
$
449,765‌
1,105,000
Canyon
Independent
School
District
4
.000
02/15/38
1,110,720‌
1,100,000
Central
Texas
Regional
Mobility
Authority
5
.000
01/01/27
1,157,939‌
1,210,000
Central
Texas
Regional
Mobility
Authority
5
.000
01/01/29
1,297,187‌
750,000
Central
Texas
Regional
Mobility
Authority
4
.000
01/01/36
766,203‌
900,000
City
of
Austin
TX
Airport
System
Revenue
5
.000
11/15/39
904,337‌
1,000,000
City
of
El
Paso
TX
4
.000
08/15/35
1,032,662‌
2,000,000
City
of
El
Paso
TX
Airport
Revenue
5
.000
08/15/28
2,134,052‌
1,970,000
City
of
Houston
TX
5
.000
03/01/32
2,114,312‌
3,000,000
City
of
Houston
TX
Combined
Utility
System
Revenue
5
.000
11/15/29
3,379,025‌
2,000,000
City
of
San
Antonio
TX
Electric
&
Gas
Systems
Revenue
5
.000
02/01/46
2,145,831‌
1,000,000
Conroe
Independent
School
District
2
.500
02/15/37
833,802‌
500,000
County
of
Galveston
TX
4
.000
02/01/38
502,200‌
985,000
County
of
Nueces
TX
5
.000
02/15/34
1,035,219‌
1,225,000
El
Paso
County
Community
College
District
5
.000
04/01/38
1,274,929‌
1,125,000
Fort
Worth
Independent
School
District
5
.000
02/15/35
1,322,663‌
150,000
Harris
County
Toll
Road
Authority
4
.000
08/15/36
155,301‌
1,000,000
North
Texas
Tollway
Authority
5
.000
01/01/30
1,083,662‌
420,000
Port
Freeport
TX
5
.000
06/01/28
443,358‌
825,000
Port
Freeport
TX
5
.000
06/01/29
862,633‌
865,000
Port
Freeport
TX
5
.000
06/01/30
903,240‌
935,000
Port
Freeport
TX
5
.000
06/01/32
972,948‌
1,385,000
Texas
Municipal
Power
Agency
3
.000
09/01/40
1,171,153‌
2,500,000
Texas
Private
Activity
Bond
Surface
Transportation
Corp
5
.000
12/31/35
2,625,109‌
TOTAL
TEXAS
30,451,101‌
UTAH
-
1
.1
%
475,000
Salt
Lake
City
Corp
Airport
Revenue
5
.000
07/01/31
506,640‌
1,000,000
Salt
Lake
City
Corp
Airport
Revenue
5
.000
07/01/32
1,065,790‌
1,000,000
Salt
Lake
City
Corp
Airport
Revenue
5
.000
07/01/33
1,065,026‌
TOTAL
UTAH
2,637,456‌
VIRGIN
ISLANDS
-
2
.0
%
2,000,000
g
Virgin
Islands
Public
Finance
Authority
5
.000
09/01/25
2,010,916‌
2,500,000
g
Virgin
Islands
Public
Finance
Authority
5
.000
09/01/33
2,547,204‌
TOTAL
VIRGIN
ISLANDS
4,558,120‌
VIRGINIA
-
1
.0
%
2,000,000
Virginia
Small
Business
Financing
Authority
4
.000
01/01/36
1,970,344‌
400,000
Virginia
Small
Business
Financing
Authority
5
.000
12/31/47
410,826‌
TOTAL
VIRGINIA
2,381,170‌
WASHINGTON
-
1
.5
%
1,000,000
Pend
Oreille
County
Public
Utility
District
No  Box
Canyon
5
.000
01/01/29
1,052,832‌
1,000,000
Pierce
County
School
District
No
403
Bethel
4
.000
12/01/37
1,026,984‌
1,500,000
Washington
Health
Care
Facilities
Authority
4
.000
10/01/42
1,505,985‌
TOTAL
WASHINGTON
3,585,801‌
WEST
VIRGINIA
-
0
.9
%
750,000
West
Virginia
Hospital
Finance
Authority
5
.000
01/01/29
783,199‌
1,215,000
West
Virginia
Hospital
Finance
Authority
5
.000
01/01/30
1,260,744‌
TOTAL
WEST
VIRGINIA
2,043,943‌
WISCONSIN
-
0
.9
%
1,000,000
City
of
Milwaukee
WI
4
.000
04/01/33
1,024,048‌
1,000,000
City
of
Milwaukee
WI
4
.000
04/01/34
1,019,076‌
TOTAL
WISCONSIN
2,043,124‌
TOTAL
LONG-TERM
MUNICIPAL
BONDS
225,872,780‌
(Cost
$241,942,873)
TOTAL
LONG-TERM
INVESTMENTS
225,872,780‌
271
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
RATE
MATURITY
DATE
VALUE
WISCONSIN—continued
(Cost
$241,942,873)
REFERENCERATE
&
SPREAD
SHORT-TERM
INVESTMENTS
-
1.8%
REPURCHASE
AGREEMENT
-
1
.8
%
$
4,085,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
%
07/03/23
$
4,085,000‌
TOTAL
REPURCHASE
AGREEMENT
4,085,000‌
TOTAL
SHORT-TERM
INVESTMENTS
4,085,000‌
(Cost
$4,085,000)
TOTAL
INVESTMENTS
-
98.9%
229,957,780‌
(Cost
$246,027,873)
OTHER
ASSETS
&
LIABILITIES,
NET
-
1.1%
2,597,696‌
NET
ASSETS
-
100.0%
$
232,555,476‌
GO
General
Obligation
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
q
In
default
r
Agreement
with
Fixed
Income
Clearing
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$4,085,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
2.750%
and
maturity
date
7/31/27,
valued
at
$4,166,761.
Green
Bond
Fund
June
30,
2023
Portfolio
of
Investments
272
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
97.4%
BANK
LOAN
OBLIGATIONS
-
1.3%
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.3
%
$
491,250
i
LTR
Intermediate
Holdings,
Inc
LIBOR
4
M
+
4.500%
9
.654
%
05/05/28
$
438,851‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
438,851‌
UTILITIES
-
1
.0
%
434,973
i
Exgen
Renewables
IV
LLC
SOFR
4
M
+
2.500%
8
.025
12/15/27
432,935‌
992,500
i
TerraForm
Power
Operating
LLC
SOFR
3
M
+
2.750%
7
.430
05/30/29
983,816‌
TOTAL
UTILITIES
1,416,751‌
TOTAL
BANK
LOAN
OBLIGATIONS
1,855,602‌
(Cost
$1,900,309)
CORPORATE
BONDS
-
53
.6
%
AUTOMOBILES
&
COMPONENTS
-
1
.4
%
1,250,000
Ford
Motor
Co
3
.250
02/12/32
983,355‌
775,000
General
Motors
Co
5
.400
10/15/29
755,666‌
225,000
g
ZF
North
America
Capital,
Inc
6
.875
04/14/28
227,854‌
TOTAL
AUTOMOBILES
&
COMPONENTS
1,966,875‌
BANKS
-
6
.2
%
1,200,000
g
ABN
AMRO
Bank
NV
2
.470
12/13/29
1,004,478‌
250,000
g
Bank
Hapoalim
BM
3
.255
01/21/32
213,913‌
1,000,000
Bank
of
America
Corp
0
.981
09/25/25
939,520‌
1,000,000
Bank
of
America
Corp
2
.456
10/22/25
954,802‌
250,000
Citigroup,
Inc
0
.776
10/30/24
245,585‌
1,000,000
g
ING
Groep
NV
1
.400
07/01/26
910,467‌
2,000,000
JPMorgan
Chase
&
Co
0
.768
08/09/25
1,883,669‌
1,800,000
National
Bank
of
Canada
0
.550
11/15/24
1,762,373‌
1,000,000
Wells
Fargo
&
Co
4
.540
08/15/26
977,091‌
TOTAL
BANKS
8,891,898‌
CONSUMER
DURABLES
&
APPAREL
-
0
.1
%
250,000
Whirlpool
Corp
2
.400
05/15/31
202,791‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
202,791‌
CONSUMER
SERVICES
-
2
.4
%
1,000,000
BB
Blue
Financing
DAC
4
.395
09/20/29
982,018‌
1,250,000
Conservation
Fund
3
.474
12/15/29
1,081,855‌
750,000
Family
Forest
Impact
Foundation
LLC
5
.500
07/01/32
773,757‌
260,000
i
Nature
Conservancy
LIBOR
3
M
+
1.080%
6
.379
02/01/24
260,565‌
500,000
Nature
Conservancy
1
.511
07/01/29
392,140‌
TOTAL
CONSUMER
SERVICES
3,490,335‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
1
.5
%
1,000,000
SYSCO
Corp
2
.400
02/15/30
851,720‌
1,575,000
Walmart,
Inc
1
.800
09/22/31
1,307,705‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
2,159,425‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
0
.2
%
250,000
g
HAT
Holdings
I
LLC
6
.000
04/15/25
246,702‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
246,702‌
273
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
1
.8
%
$
406,000
ERP
Operating
LP
4
.150
%
12/01/28
$
385,752‌
1,300,000
Federal
Realty
Investment
Trust
1
.250
02/15/26
1,160,650‌
250,000
g
HAT
Holdings
I
LLC
3
.375
06/15/26
224,061‌
1,000,000
Host
Hotels
&
Resorts
LP
2
.900
12/15/31
786,160‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
2,556,623‌
FINANCIAL
SERVICES
-
4
.2
%
2,000,000
g
Cooperatieve
Rabobank
UA
1
.004
09/24/26
1,786,507‌
1,000,000
Goldman
Sachs
Group,
Inc
4
.387
06/15/27
972,465‌
1,000,000
Mastercard,
Inc
1
.900
03/15/31
831,150‌
1,000,000
National
Rural
Utilities
Cooperative
Finance
Corp
4
.150
12/15/32
926,880‌
285,000
g
Starwood
Property
Trust,
Inc
4
.375
01/15/27
245,456‌
1,000,000
Toyota
Motor
Credit
Corp
2
.150
02/13/30
855,493‌
500,000
g
WLB
Asset
II
C
Pte
Ltd
3
.900
12/23/25
454,297‌
TOTAL
FINANCIAL
SERVICES
6,072,248‌
FOOD,
BEVERAGE
&
TOBACCO
-
1
.5
%
250,000
g
Mars,
Inc
4
.650
04/20/31
248,244‌
250,000
g
NBM
US
Holdings,
Inc
6
.625
08/06/29
228,916‌
1,000,000
PepsiCo,
Inc
3
.900
07/18/32
961,395‌
1,000,000
PepsiCo,
Inc
2
.875
10/15/49
750,997‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
2,189,552‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
0
.6
%
1,000,000
Kaiser
Foundation
Hospitals
2
.810
06/01/41
734,580‌
250,000
Stanford
Health
Care
3
.027
08/15/51
173,701‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
908,281‌
INSURANCE
-
1
.9
%
1,000,000
Aflac,
Inc
1
.125
03/15/26
894,989‌
1,000,000
g
Muenchener
Rueckversicherungs-Gesellschaft
AG.
in
Muenchen
5
.875
05/23/42
1,000,240‌
1,000,000
g
USAA
Capital
Corp
2
.125
05/01/30
831,754‌
TOTAL
INSURANCE
2,726,983‌
MATERIALS
-
3
.9
%
750,000
Air
Products
&
Chemicals,
Inc
4
.800
03/03/33
756,744‌
625,000
g
Cemex
SAB
de
C.V.
9
.125
N/A‡
632,967‌
1,000,000
g
FMG
Resources
August
2006
Pty
Ltd
6
.125
04/15/32
952,996‌
1,060,000
g
Inversiones
CMPC
S.A.
6
.125
06/23/33
1,066,833‌
570,000
g
LG
Chem
Ltd
4
.375
07/14/25
552,871‌
500,000
g
LG
Chem
Ltd
3
.625
04/15/29
466,381‌
290,000
g
Owens-Brockway
Glass
Container,
Inc
7
.250
05/15/31
293,625‌
1,000,000
Sonoco
Products
Co
2
.250
02/01/27
893,477‌
TOTAL
MATERIALS
5,615,894‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
0
.6
%
1,000,000
Pfizer,
Inc
2
.625
04/01/30
888,937‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
888,937‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
1
.3
%
1,000,000
Intel
Corp
4
.150
08/05/32
950,213‌
1,000,000
NXP
BV
3
.400
05/01/30
884,768‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
1,834,981‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
1
.1
%
1,600,000
Apple,
Inc
3
.000
06/20/27
1,515,073‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
1,515,073‌
TELECOMMUNICATION
SERVICES
-
1
.9
%
1,500,000
Verizon
Communications,
Inc
1
.500
09/18/30
1,185,451‌
1,000,000
Verizon
Communications,
Inc
2
.850
09/03/41
711,225‌
Green
Bond
Fund
June
30,
2023
274
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TELECOMMUNICATION
SERVICES—continued
$
1,000,000
Verizon
Communications,
Inc
3
.875
%
03/01/52
$
788,266‌
TOTAL
TELECOMMUNICATION
SERVICES
2,684,942‌
TRANSPORTATION
-
0
.2
%
250,000
e
Norfolk
Southern
Corp
2
.300
05/15/31
207,677‌
TOTAL
TRANSPORTATION
207,677‌
UTILITIES
-
22
.8
%
527,000
Ameren
Illinois
Co
2
.900
06/15/51
354,500‌
270,000
g
Atlantica
Sustainable
Infrastructure
plc
4
.125
06/15/28
240,545‌
1,000,000
Avangrid,
Inc
3
.150
12/01/24
959,126‌
215,000
g
Consorcio
Transmantaro
SA
4
.700
04/16/34
199,095‌
2,000,000
DTE
Electric
Co
1
.900
04/01/28
1,749,763‌
1,000,000
Duke
Energy
Carolinas
LLC
2
.850
03/15/32
849,932‌
1,000,000
Duke
Energy
Florida
LLC
2
.500
12/01/29
863,349‌
600,000
Duke
Energy
Florida
LLC
3
.000
12/15/51
411,034‌
1,000,000
Duke
Energy
Progress
LLC
3
.450
03/15/29
916,844‌
1,000,000
Duke
Energy
Progress
LLC
4
.000
04/01/52
809,591‌
250,000
g
Electricite
de
France
S.A.
3
.625
10/13/25
240,131‌
250,000
Evergy,
Inc
2
.550
07/01/26
231,508‌
1,000,000
Georgia
Power
Co
3
.250
04/01/26
948,089‌
274,650
g
India
Cleantech
Energy
4
.700
08/10/26
239,742‌
1,650,000
Interstate
Power
&
Light
Co
3
.600
04/01/29
1,504,852‌
625,000
g
Korea
East-West
Power
Co
Ltd
3
.600
05/06/25
601,097‌
550,000
g
Korea
Hydro
&
Nuclear
Power
Co
Ltd
3
.750
07/25/23
549,301‌
1,000,000
g
Liberty
Utilities
Finance
GP
2
.050
09/15/30
776,912‌
1,000,000
MidAmerican
Energy
Co
3
.100
05/01/27
934,049‌
500,000
MidAmerican
Energy
Co
2
.700
08/01/52
315,917‌
1,075,000
g
New
York
State
Electric
&
Gas
Corp
2
.150
10/01/31
839,391‌
1,000,000
g
Niagara
Mohawk
Power
Corp
1
.960
06/27/30
799,034‌
500,000
Northwest
Natural
Gas
Co
3
.078
12/01/51
332,991‌
1,000,000
PacifiCorp
2
.900
06/15/52
623,150‌
529,000
Public
Service
Co
of
Colorado
3
.700
06/15/28
501,969‌
1,000,000
Public
Service
Co
of
Colorado
3
.200
03/01/50
705,759‌
1,000,000
Public
Service
Co
of
Oklahoma
2
.200
08/15/31
807,997‌
1,000,000
Public
Service
Electric
and
Gas
Co
3
.100
03/15/32
873,936‌
250,000
Public
Service
Electric
and
Gas
Co
4
.650
03/15/33
245,269‌
1,000,000
San
Diego
Gas
&
Electric
Co
2
.950
08/15/51
676,614‌
1,000,000
SCE
Recovery
Funding
LLC
2
.943
11/15/42
810,792‌
960,000
SCE
Recovery
Funding
LLC
3
.240
11/15/46
702,806‌
250,000
g
Sociedad
de
Transmision
Austral
S.A.
4
.000
01/27/32
213,930‌
1,000,000
Southern
California
Edison
Co
2
.750
02/01/32
836,321‌
1,162,000
Southern
California
Edison
Co
3
.650
06/01/51
861,769‌
1,500,000
Southern
Power
Co
4
.150
12/01/25
1,463,345‌
1,000,000
Southwestern
Electric
Power
Co
3
.250
11/01/51
670,674‌
1,000,000
Southwestern
Public
Service
Co
3
.150
05/01/50
695,933‌
202,700
g
Star
Energy
Geothermal
Wayang
Windu
Ltd
6
.750
04/24/33
198,449‌
973,580
g
Sweihan
PV
Power
Co
PJSC
3
.625
01/31/49
783,195‌
316,851
g
Topaz
Solar
Farms
LLC
4
.875
09/30/39
289,919‌
982,741
g
Topaz
Solar
Farms
LLC
5
.750
09/30/39
963,632‌
181,512
g
UEP
Penonome
II
S.A.
6
.500
10/01/38
136,067‌
1,000,000
Union
Electric
Co
2
.150
03/15/32
800,324‌
500,000
Union
Electric
Co
2
.625
03/15/51
320,035‌
1,075,000
Union
Electric
Co
3
.900
04/01/52
876,683‌
1,050,000
g
Vistra
Corp
7
.000
N/A‡
916,125‌
1,000,000
Wisconsin
Power
and
Light
Co
3
.950
09/01/32
922,829‌
TOTAL
UTILITIES
32,564,315‌
TOTAL
CORPORATE
BONDS
76,723,532‌
(Cost
$83,835,773)
275
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
GOVERNMENT
BONDS
-
24
.0
%
AGENCY
SECURITIES
-
2
.3
%
$
1,000,000
g
GPS
Blue
Financing
DAC
5
.645
%
11/09/41
$
1,034,790‌
187,367
Overseas
Private
Investment
Corp
(OPIC)
1
.790
10/15/29
167,315‌
187,367
OPIC
2
.360
10/15/29
170,575‌
1,506,659
OPIC
3
.430
06/01/33
1,394,810‌
250,000
United
States
International
Development
Finance
Corp
1
.650
04/15/28
220,074‌
187,367
United
States
International
Development
Finance
Corp
1
.050
10/15/29
163,081‌
237,590
United
States
International
Development
Finance
Corp
1
.630
07/15/38
188,715‌
TOTAL
AGENCY
SECURITIES
3,339,360‌
FOREIGN
GOVERNMENT
BONDS
-
12
.0
%
300,000
g
Arab
Petroleum
Investments
Corp
1
.483
10/06/26
269,302‌
579,000
Asian
Development
Bank
1
.750
08/14/26
532,328‌
750,000
Asian
Development
Bank
3
.125
09/26/28
709,119‌
1,000,000
BB
Blue
Financing
DAC
4
.395
09/20/37
998,121‌
250,000
g
CDP
Financial,
Inc
1
.000
05/26/26
224,221‌
250,000
European
Bank
for
Reconstruction
&
Development
1
.625
09/27/24
238,745‌
1,000,000
g
European
Investment
Bank
2
.876
06/13/25
961,351‌
1,250,000
European
Investment
Bank
0
.625
10/21/27
1,071,343‌
830,000
European
Investment
Bank
3
.250
11/15/27
796,792‌
250,000
European
Investment
Bank
1
.625
10/09/29
216,309‌
2,000,000
European
Investment
Bank
0
.750
09/23/30
1,593,804‌
1,000,000
European
Investment
Bank
3
.750
02/14/33
984,661‌
1,000,000
Hydro-Quebec
8
.050
07/07/24
1,021,365‌
1,000,000
Inter-American
Investment
Corp
2
.625
04/22/25
954,791‌
500,000
International
Bank
for
Reconstruction
&
Development
2
.125
03/03/25
475,260‌
500,000
International
Bank
for
Reconstruction
&
Development
3
.125
11/20/25
481,857‌
1,000,000
International
Bank
for
Reconstruction
&
Development
0
.000
03/31/27
897,410‌
500,000
International
Bank
for
Reconstruction
&
Development
0
.000
03/31/28
489,445‌
2,000,000
International
Bank
for
Reconstruction
&
Development
1
.625
11/03/31
1,668,468‌
500,000
Kreditanstalt
fuer
Wiederaufbau
1
.000
10/01/26
447,227‌
1,000,000
Kreditanstalt
fuer
Wiederaufbau
0
.750
09/30/30
794,466‌
1,000,000
g
OMERS
Finance
Trust
4
.000
04/19/52
830,457‌
450,000
g
OPEC
Fund
for
International
Development
4
.500
01/26/26
441,686‌
TOTAL
FOREIGN
GOVERNMENT
BONDS
17,098,528‌
MORTGAGE
BACKED
-
0
.3
%
250,000
i
Federal
National
Mortgage
Association
(FNMA)
1
.517
11/25/30
202,243‌
250,000
i
FNMA
1
.287
01/25/31
198,755‌
TOTAL
MORTGAGE
BACKED
400,998‌
MUNICIPAL
BONDS
-
7
.7
%
800,000
California
Community
Choice
Financing
Authority
5
.950
08/01/29
813,652‌
180,000
g
California
Municipal
Finance
Authority
6
.375
11/15/48
155,572‌
500,000
City
&
County
of
San
Francisco
CA
Community
Facilities
District
No
2014
6
.332
09/01/51
517,620‌
300,000
City
of
Cleveland
OH
Income
Tax
Revenue
3
.072
10/01/41
229,650‌
142,958
City
of
Fort
Wayne
IN
10
.750
12/01/29
14‌
600,000
City
of
Los
Angeles
Department
of
Airports
Customer
Facility
Charge
Revenue
4
.242
05/15/48
527,601‌
250,000
City
of
San
Francisco
CA
Public
Utilities
Commission
Water
Revenue
2
.825
11/01/41
196,018‌
250,000
g
County
of
Gallatin
MT
11
.500
09/01/27
260,725‌
500,000
District
of
Columbia
3
.850
02/28/25
483,663‌
1,000,000
g
Florida
Development
Finance
Corp
7
.250
07/01/57
1,017,164‌
1,000,000
Florida
Development
Finance
Corp
7
.500
07/01/57
984,259‌
250,000
Grant
County
Public
Utility
District
No
2
3
.210
01/01/40
202,609‌
235,000
Great
Lakes
Water
Authority
Sewage
Disposal
System
Revenue
3
.056
07/01/39
190,203‌
100,000
Klickitat
County
Public
Utilities
3
.688
12/01/38
85,402‌
315,000
Massachusetts
Clean
Energy
Cooperative
Corp
2
.485
07/01/32
262,085‌
Green
Bond
Fund
June
30,
2023
276
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MUNICIPAL
BONDS—continued
$
500,000
Metropolitan
Transportation
Authority
5
.175
%
11/15/49
$
457,257‌
170,000
Morris
County
Improvement
Authority
1
.298
06/15/27
149,362‌
210,000
Mount
Shasta
Public
Financing
Authority
3
.000
08/01/35
196,377‌
220,000
Mount
Shasta
Public
Financing
Authority
2
.625
08/01/36
190,193‌
120,000
Mount
Shasta
Public
Financing
Authority
2
.625
08/01/37
101,555‌
160,000
Mount
Shasta
Public
Financing
Authority
2
.750
08/01/38
135,990‌
165,000
Mount
Shasta
Public
Financing
Authority
2
.750
08/01/39
138,308‌
1,840,000
New
York
State
Energy
Research
&
Development
Authority
4
.521
04/01/26
1,787,011‌
230,000
New
York
State
Energy
Research
&
Development
Authority
3
.927
04/01/27
217,788‌
500,000
g
Ohio
Air
Quality
Development
Authority
4
.500
01/15/48
475,738‌
240,000
g
Pennsylvania
Economic
Development
Financing
Authority
10
.000
12/01/29
224,349‌
1,072,517
State
of
Hawaii
Department
of
Business
Economic
Development
&
Tourism
3
.242
01/01/31
1,027,314‌
TOTAL
MUNICIPAL
BONDS
11,027,479‌
U.S.
TREASURY
SECURITIES
-
1
.7
%
1,210,000
United
States
Treasury
Note
4
.250
05/31/25
1,194,781‌
1,175,000
United
States
Treasury
Note
4
.625
06/30/25
1,169,630‌
95,000
United
States
Treasury
Note
3
.750
06/30/30
93,738‌
TOTAL
U.S.
TREASURY
SECURITIES
2,458,149‌
TOTAL
GOVERNMENT
BONDS
34,324,514‌
(Cost
$36,754,490)
STRUCTURED
ASSETS
-
17
.9
%
ASSET
BACKED
-
10
.5
%
250,000
g,i
BFLD
Trust
LIBOR
1
M
+
2.100%
7
.293
10/15/35
138,792‌
Series
-
2020
EYP
(Class
C)
78,078
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.100
05/20/48
59,897‌
Series
-
2021
3CS
(Class
A)
276,763
g
GoodLeap
Sustainable
Home
Solutions
Trust
1
.930
07/20/48
210,316‌
Series
-
2021
4GS
(Class
A)
252,774
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.560
10/20/48
177,661‌
Series
-
2021
5CS
(Class
B)
440,294
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.700
01/20/49
352,144‌
Series
-
2022
1GS
(Class
A)
943,316
g
GoodLeap
Sustainable
Home
Solutions
Trust
4
.950
07/20/49
865,004‌
Series
-
2022
3CS
(Class
A)
500,000
g
GoodLeap
Sustainable
Home
Solutions
Trust
5
.550
11/20/54
430,775‌
Series
-
2022
4CS
(Class
B)
1,063,162
g
GoodLeap
Sustainable
Home
Solutions
Trust
5
.520
02/22/55
1,011,739‌
Series
-
2023
1GS
(Class
A)
107,905
g
HERO
Funding
Trust
4
.050
09/20/41
97,864‌
Series
-
2016
1A
(Class
A)
163,231
g
HERO
Funding
Trust
3
.910
09/20/42
146,134‌
Series
-
2016
3A
(Class
A2)
97,608
g
HERO
Funding
Trust
4
.290
09/20/47
88,226‌
Series
-
2016
4A
(Class
A2)
46,026
g
HERO
Funding
Trust
4
.460
09/20/47
41,433‌
Series
-
2017
1A
(Class
A2)
108,087
g
HERO
Funding
Trust
3
.190
09/20/48
92,517‌
Series
-
2017
3A
(Class
A1)
217,796
g
HERO
Funding
Trust
3
.950
09/20/48
190,758‌
Series
-
2017
3A
(Class
A2)
117,507
g
HERO
Funding
Trust
2
.720
09/20/57
95,483‌
Series
-
2020
1A
(Class
A)
900,000
g
Hertz
Vehicle
Financing
III
LLC
7
.130
09/25/29
892,908‌
Series
-
2023
2A
(Class
C)
277
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
163,954
g
Loanpal
Solar
Loan
Ltd
2
.290
%
01/20/48
$
122,222‌
Series
-
2021
1GS
(Class
A)
210,262
†,g
Mosaic
Solar
Loan
Trust
0
.000
04/20/46
148,213‌
Series
-
2020
1A
(Class
R)
394,575
g
Mosaic
Solar
Loan
Trust
2
.100
04/20/46
337,849‌
Series
-
2020
1A
(Class
A)
134,608
g
Mosaic
Solar
Loan
Trust
1
.440
08/20/46
109,954‌
Series
-
2020
2A
(Class
A)
745,563
g
Mosaic
Solar
Loan
Trust
2
.050
12/20/46
582,018‌
Series
-
2021
1A
(Class
B)
286,952
g
Mosaic
Solar
Loan
Trust
2
.250
12/20/46
252,069‌
Series
-
2021
1A
(Class
C)
505,962
g
Mosaic
Solar
Loan
Trust
1
.440
06/20/52
400,644‌
Series
-
2021
3A
(Class
A)
1,000,000
g
Mosaic
Solar
Loan
Trust
1
.770
06/20/52
800,115‌
Series
-
2021
3A
(Class
C)
873,076
g
Mosaic
Solar
Loan
Trust
6
.100
06/20/53
870,994‌
Series
-
2022
3A
(Class
A)
500,000
g
Mosaic
Solar
Loan
Trust
8
.180
09/22/53
448,152‌
Series
-
2023
2A
(Class
C)
169,363
g
Renew
2
.060
11/20/56
133,453‌
Series
-
2021
1
(Class
A)
1,093,166
g
Sunnova
Helios
VIII
Issuer
LLC
2
.790
02/22/49
930,725‌
Series
-
2022
A
(Class
A)
223,709
g
Sunrun
Athena
Issuer
LLC
5
.310
04/30/49
209,431‌
Series
-
2018
1
(Class
A)
450,115
g
Sunrun
Atlas
Issuer
LLC
3
.610
02/01/55
394,113‌
Series
-
2019
2
(Class
A)
346,816
g
Sunrun
Callisto
Issuer
LLC
3
.980
06/30/54
306,354‌
Series
-
2019
1A
(Class
A)
469,137
g
Sunrun
Jupiter
Issuer
LLC
4
.750
07/30/57
416,908‌
Series
-
2022
1A
(Class
A)
227,908
g
Sunrun
Vulcan
Issuer
LLC
2
.460
01/30/52
180,940‌
Series
-
2021
1A
(Class
A)
621,174
g
Tesla
Auto
Lease
Trust
0
.560
03/20/25
616,153‌
Series
-
2021
A
(Class
A3)
500,000
g
Tesla
Auto
Lease
Trust
1
.020
03/20/25
489,974‌
Series
-
2021
A
(Class
B)
300,000
g
Tesla
Auto
Lease
Trust
0
.600
09/22/25
289,287‌
Series
-
2021
B
(Class
A3)
1,000,000
g
Tesla
Auto
Lease
Trust
1
.320
09/22/25
942,039‌
Series
-
2021
B
(Class
D)
433,343
g
Vivint
Colar
Financing
V
LLC
7
.370
04/30/48
396,579‌
Series
-
2018
1A
(Class
B)
891,924
g
Vivint
Solar
Financing
VII
LLC
2
.210
07/31/51
688,433‌
Series
-
2020
1A
(Class
A)
TOTAL
ASSET
BACKED
14,958,270‌
OTHER
MORTGAGE
BACKED
-
7
.4
%
250,000
g,i
Alen
Mortgage
Trust
LIBOR
1
M
+
1.650%
6
.843
04/15/34
208,961‌
Series
-
2021
ACEN
(Class
B)
100,000
g
BBCMS
Trust
4
.498
08/10/35
88,311‌
Series
-
2015
SRCH
(Class
B)
250,000
g,i
Cityline
Commercial
Mortgage
Trust
2
.871
11/10/31
233,197‌
Series
-
2016
CLNE
(Class
A)
500,000
g
COMM
Mortgage
Trust
3
.178
02/10/35
464,538‌
Series
-
2015
3BP
(Class
A)
100,000
g
COMM
Mortgage
Trust
3
.376
01/10/39
78,981‌
Series
-
2022
HC
(Class
C)
500,000
g
CPT
Mortgage
Trust
2
.865
11/13/39
403,530‌
Series
-
2019
CPT
(Class
A)
Green
Bond
Fund
June
30,
2023
278
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
500,000
g,i
DBUBS
Mortgage
Trust
3
.648
%
10/10/34
$
401,479‌
Series
-
2017
BRBK
(Class
D)
210,000
g,i
GCT
Commercial
Mortgage
Trust
LIBOR
1
M
+
0.800%
5
.993
02/15/38
180,112‌
Series
-
2021
GCT
(Class
A)
1,102,000
g,i
GS
Mortgage
Securities
Corp
II
5
.067
03/10/33
1,029,051‌
Series
-
2018
GS10
(Class
WLSA)
345,000
g,i
Hudson
Yards
Mortgage
Trust
3
.558
07/10/39
259,839‌
Series
-
2019
30HY
(Class
E)
1,255,000
g,i
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust
LIBOR
1
M
+
1.370%
6
.564
10/15/33
1,144,840‌
Series
-
2020
609M
(Class
A)
1,000,000
g,i
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust
LIBOR
1
M
+
1.770%
6
.964
10/15/33
877,954‌
Series
-
2020
609M
(Class
B)
1,000,000
g
Manhattan
West
Mortgage
Trust
2
.130
09/10/39
854,663‌
Series
-
2020
1MW
(Class
A)
250,000
g,i
MFT
Trust
3
.392
08/10/40
159,739‌
Series
-
2020
B6
(Class
B)
350,586
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
1.579%
5
.915
07/15/36
330,198‌
Series
-
2019
MILE
(Class
A)
500,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
2.829%
7
.976
07/15/36
435,236‌
Series
-
2019
MILE
(Class
D)
250,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
4.329%
9
.476
07/15/36
183,811‌
Series
-
2019
MILE
(Class
F)
11,470,000
g,i
NYC
Commercial
Mortgage
Trust
0
.333
04/10/43
183,780‌
Series
-
2021
909
(Class
X)
500,000
g
One
Bryant
Park
Trust
2
.516
09/15/54
407,167‌
Series
-
2019
OBP
(Class
A)
1,000,000
g
One
Market
Plaza
Trust
3
.614
02/10/32
925,806‌
Series
-
2017
1MKT
(Class
A)
500,000
g
One
Market
Plaza
Trust
4
.016
02/10/32
430,447‌
Series
-
2017
1MKT
(Class
C)
1,000,000
g
One
Market
Plaza
Trust
4
.146
02/10/32
832,393‌
Series
-
2017
1MKT
(Class
D)
400,000
g,i
STWD
Mortgage
Trust
LIBOR
1
M
+
2.305%
7
.498
11/15/36
379,039‌
Series
-
2021
LIH
(Class
D)
100,000
g,i
VNDO
Trust
4
.033
01/10/35
87,083‌
Series
-
2016
350P
(Class
D)
TOTAL
OTHER
MORTGAGE
BACKED
10,580,155‌
TOTAL
STRUCTURED
ASSETS
25,538,425‌
(Cost
$28,670,129)
SHARES
REFERENCERATE
&
SPREAD
PREFERRED
STOCKS
-
0.6%
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
0
.1
%
10,000
Brookfield
Property
Partners
LP
136,100‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
136,100‌
UTILITIES
-
0
.5
%
20,000
Brookfield
Infrastructure
Partners
LP
380,400‌
16,000
Brookfield
Renewable
Partners
LP
319,520‌
TOTAL
UTILITIES
699,920‌
TOTAL
PREFERRED
STOCKS
836,020‌
(Cost
$1,150,000)
TOTAL
LONG-TERM
INVESTMENTS
139,278,093‌
(Cost
$152,310,701)
279
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCERATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SHORT-TERM
INVESTMENTS
-
2.1%
REPURCHASE
AGREEMENT
-
2
.1
%
$
2,950,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
%
07/03/23
$
2,950,000‌
TOTAL
REPURCHASE
AGREEMENT
2,950,000‌
TOTAL
SHORT-TERM
INVESTMENTS
2,950,000‌
(Cost
$2,950,000)
SHARES
EXP
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.1%
212,052
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5
.110
212,052‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
212,052‌
(Cost
$212,052)
TOTAL
INVESTMENTS
-
99.6%
142,440,145‌
(Cost
$155,472,753)
OTHER
ASSETS
&
LIABILITIES,
NET
-
0.4%
606,145‌
NET
ASSETS
-
100.0%
$
143,046,290‌
LIBOR
London
Interbank
Offered
Rate
M
Month
SOFR
Secure
Overnight
Financing
Rate
For
fair
value
measurement
disclosure
purposes,
investment
classified
as
Level
3.
Perpetual
security
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$205,185.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
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
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$2,950,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
2.625%
and
maturity
date
5/31/27,
valued
at
$3,009,023.
High-Yield
Fund
June
30,
2023
Portfolio
of
Investments
280
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
97.8%
BANK
LOAN
OBLIGATIONS
-
7.1%
CAPITAL
GOODS
-
0
.5
%
$
10,000,000
i
TransDigm,
Inc
SOFR
4
M
+
3.250%
8
.492
%
08/24/28
$
10,005,800‌
TOTAL
CAPITAL
GOODS
10,005,800‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
1
.6
%
10,000,000
h,i
Emerson
Climate
Technologies,
Inc
SOFR
1
M
+
3.000%
3
.000
05/31/30
10,012,500‌
10,000,000
i
Hanesbrands,
Inc
SOFR
12
M
+
3.750%
8
.852
03/08/30
10,050,000‌
10,512,725
i
Jo-Ann
Stores
LLC
LIBOR
4
M
+
4.750%
10
.018
07/07/28
5,527,907‌
9,480,000
i
Staples,
Inc
LIBOR
4
M
+
5.000%
10
.299
04/16/26
8,138,011‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
33,728,418‌
FINANCIAL
SERVICES
-
0
.4
%
7,408,856
i
Advisor
Group
Holdings,
Inc
LIBOR
12
M
+
4.500%
9
.693
07/31/26
7,424,007‌
TOTAL
FINANCIAL
SERVICES
7,424,007‌
FOOD,
BEVERAGE
&
TOBACCO
-
0
.4
%
9,415,530
i
Triton
Water
Holdings,
Inc
LIBOR
4
M
+
3.500%
8
.659
03/31/28
9,125,719‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
9,125,719‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
0
.8
%
5,138,205
h,i
Bausch
&
Lomb
Corp
SOFR
4
M
+
3.250%
8
.592
05/10/27
4,996,905‌
10,513,824
i
Verscend
Holding
Corp
SOFR
12
M
+
4.000%
9
.217
08/27/25
10,523,654‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
15,520,559‌
INSURANCE
-
0
.6
%
8,270,000
h,i
HUB
International
Ltd
LIBOR
6
M
+
3.250%
8
.414
04/25/25
8,265,658‌
5,000,000
i
NFP
Corp
SOFR
12
M
+
3.250%
8
.467
02/15/27
4,908,925‌
TOTAL
INSURANCE
13,174,583‌
MATERIALS
-
0
.3
%
6,080,000
h,i
Windsor
Holdings
III
LLC
CME
Term
SOFR
3
Month
+
4.500%
0
.000
06/27/30
5,980,440‌
TOTAL
MATERIALS
5,980,440‌
MEDIA
&
ENTERTAINMENT
-
0
.5
%
5,473,006
i
Abe
Investment
Holdings
SOFR
4
M
+
4.500%
9
.842
02/19/26
5,479,847‌
1,182,332
i
Diamond
Sports
Group
LLC
SOFR
1
M
+
8.000%
8
.000
05/25/26
915,202‌
4,869,942
i
DIRECTV
Financing
LLC
SOFR
12
M
+
5.000%
10
.217
08/02/27
4,771,862‌
TOTAL
MEDIA
&
ENTERTAINMENT
11,166,911‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.0
%
173,457
i
Bright
Bidco
BV
SOFR
4
M
+
9.000%
14
.045
10/31/27
89,909‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
89,909‌
SOFTWARE
&
SERVICES
-
1
.1
%
15,273,250
i
Open
Text
Corp
SOFR
12
M
+
3.500%
8
.702
01/31/30
15,359,162‌
7,323,867
i
Rocket
Software,
Inc
SOFR
12
M
+
4.250%
9
.467
11/28/25
7,268,938‌
TOTAL
SOFTWARE
&
SERVICES
22,628,100‌
TELECOMMUNICATION
SERVICES
-
0
.5
%
9,974,555
i
Frontier
Communications
Corp
LIBOR
12
M
+
3.750%
9
.000
05/01/28
9,692,624‌
TOTAL
TELECOMMUNICATION
SERVICES
9,692,624‌
281
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TRANSPORTATION
-
0
.4
%
$
7,464,487
i
Air
Canada
LIBOR
4
M
+
3.500%
8
.839
%
08/11/28
$
7,474,489‌
TOTAL
TRANSPORTATION
7,474,489‌
TOTAL
BANK
LOAN
OBLIGATIONS
146,011,559‌
(Cost
$151,962,265)
CORPORATE
BONDS
-
89
.8
%
AUTOMOBILES
&
COMPONENTS
-
5
.8
%
6,860,000
g
Clarios
Global
LP
6
.750
05/15/28
6,836,006‌
4,195,000
Dana,
Inc
5
.375
11/15/27
3,973,757‌
15,040,000
Dana,
Inc
4
.500
02/15/32
12,483,501‌
5,825,000
Ford
Motor
Co
9
.625
04/22/30
6,776,036‌
5,000,000
Ford
Motor
Co
3
.250
02/12/32
3,933,422‌
5,000,000
Ford
Motor
Credit
Co
LLC
2
.300
02/10/25
4,673,950‌
10,000,000
Ford
Motor
Credit
Co
LLC
3
.375
11/13/25
9,298,744‌
6,845,000
Ford
Motor
Credit
Co
LLC
6
.800
05/12/28
6,851,277‌
15,000,000
Ford
Motor
Credit
Co
LLC
5
.113
05/03/29
13,911,137‌
2,260,000
Ford
Motor
Credit
Co
LLC
7
.350
03/06/30
2,308,007‌
10,075,000
e,g
Gates
Global
LLC
6
.250
01/15/26
9,913,844‌
6,815,000
e
Goodyear
Tire
&
Rubber
Co
5
.000
07/15/29
6,145,333‌
10,000,000
e
Goodyear
Tire
&
Rubber
Co
5
.250
04/30/31
8,783,367‌
4,650,000
e
Goodyear
Tire
&
Rubber
Co
5
.250
07/15/31
4,039,688‌
5,000,000
e
Goodyear
Tire
&
Rubber
Co
5
.625
04/30/33
4,352,852‌
1,100,000
g,o
IHO
Verwaltungs
GmbH
4
.750
09/15/26
1,014,849‌
16,050,000
g,o
IHO
Verwaltungs
GmbH
6
.375
05/15/29
14,874,713‌
TOTAL
AUTOMOBILES
&
COMPONENTS
120,170,483‌
CAPITAL
GOODS
-
2
.3
%
7,135,000
g
Chart
Industries,
Inc
7
.500
01/01/30
7,279,520‌
5,290,000
g
Chart
Industries,
Inc
9
.500
01/01/31
5,612,760‌
12,250,000
TransDigm
UK
Holdings
plc
6
.875
05/15/26
12,135,938‌
4,000,000
TransDigm,
Inc
7
.500
03/15/27
4,005,680‌
7,430,000
g
Trinity
Industries,
Inc
7
.750
07/15/28
7,476,438‌
10,060,000
g
WESCO
Distribution,
Inc
7
.250
06/15/28
10,261,763‌
TOTAL
CAPITAL
GOODS
46,772,099‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
6
.5
%
5,245,000
g
ADT
Corp
4
.875
07/15/32
4,484,475‌
13,425,000
g
ADT
Security
Corp
4
.125
08/01/29
11,595,844‌
13,945,000
g
Albion
Financing
1
SARL
6
.125
10/15/26
13,108,300‌
24,040,000
g
Albion
Financing
2
SARL
8
.750
04/15/27
22,218,246‌
11,390,000
g
Allied
Universal
Holdco
LLC
6
.625
07/15/26
10,808,465‌
5,000,000
g
Allied
Universal
Holdco
LLC
4
.625
06/01/28
4,232,350‌
10,785,000
g
ASGN,
Inc
4
.625
05/15/28
9,756,974‌
21,600,000
g
Garda
World
Security
Corp
4
.625
02/15/27
19,764,028‌
7,690,000
g
Iron
Mountain,
Inc
7
.000
02/15/29
7,702,935‌
5,075,000
g
Prime
Security
Services
Borrower
LLC
5
.750
04/15/26
4,981,760‌
5,325,000
g
Prime
Security
Services
Borrower
LLC
3
.375
08/31/27
4,696,524‌
18,570,000
g
Prime
Security
Services
Borrower
LLC
6
.250
01/15/28
17,396,404‌
4,750,000
g
Science
Applications
International
Corp
4
.875
04/01/28
4,417,671‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
135,163,976‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
5
.8
%
10,700,000
g
Academy
Ltd
6
.000
11/15/27
10,272,000‌
10,000,000
g
Asbury
Automotive
Group,
Inc
4
.625
11/15/29
8,876,235‌
10,240,000
g
Asbury
Automotive
Group,
Inc
5
.000
02/15/32
8,915,917‌
9,175,000
g
Group
1
Automotive,
Inc
4
.000
08/15/28
8,079,582‌
11,450,000
e,g
Hanesbrands,
Inc
9
.000
02/15/31
11,540,066‌
High-Yield
Fund
June
30,
2023
282
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL—continued
$
15,000,000
Kohl's
Corp
4
.625
%
05/01/31
$
10,436,700‌
6,650,000
L
Brands,
Inc
5
.250
02/01/28
6,322,183‌
7,440,000
g
L
Brands,
Inc
6
.625
10/01/30
7,182,486‌
11,335,000
g
LCM
Investments
Holdings
II
LLC
4
.875
05/01/29
9,699,826‌
2,445,000
e,g
Macy's
Retail
Holdings
LLC
5
.875
04/01/29
2,231,062‌
9,555,000
e,g
Macy's
Retail
Holdings
LLC
6
.125
03/15/32
8,359,383‌
17,587,000
e,g
Magic
Mergeco,
Inc
5
.250
05/01/28
14,209,241‌
4,775,000
g
Magic
Mergeco,
Inc
7
.875
05/01/29
3,217,347‌
13,300,000
g
Staples,
Inc
7
.500
04/15/26
10,984,643‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
120,326,671‌
CONSUMER
DURABLES
&
APPAREL
-
0
.5
%
5,200,000
Newell
Rubbermaid,
Inc
5
.750
04/01/46
4,113,920‌
8,880,000
e,g
Wolverine
World
Wide,
Inc
4
.000
08/15/29
7,070,700‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
11,184,620‌
CONSUMER
SERVICES
-
3
.4
%
11,845,000
g
Carnival
Corp
4
.000
08/01/28
10,500,827‌
20,995,000
g
CDI
Escrow
Issuer,
Inc
5
.750
04/01/30
19,542,524‌
11,140,000
g
Fertitta
Entertainment
LLC
4
.625
01/15/29
9,775,350‌
11,300,000
g
Life
Time,
Inc
5
.750
01/15/26
11,012,220‌
10,260,000
g
NCL
Corp
Ltd
5
.875
03/15/26
9,598,883‌
4,630,000
g
NCL
Corp
Ltd
8
.375
02/01/28
4,838,091‌
3,925,000
g
Royal
Caribbean
Cruises
Ltd
7
.250
01/15/30
3,975,413‌
TOTAL
CONSUMER
SERVICES
69,243,308‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0
.8
%
8,455,000
g
Albertsons
Cos
LLC
5
.875
02/15/28
8,216,062‌
8,020,000
g
Albertsons
Cos,
Inc
6
.500
02/15/28
8,033,313‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
16,249,375‌
ENERGY
-
13
.3
%
9,000,000
g
Antero
Midstream
Partners
LP
5
.750
03/01/27
8,679,928‌
7,190,000
g
Archrock
Partners
LP
6
.875
04/01/27
6,902,400‌
4,600,000
g
Archrock
Partners
LP
6
.250
04/01/28
4,318,756‌
5,000,000
e,g
Callon
Petroleum
Co
8
.000
08/01/28
4,944,546‌
4,170,000
g
Calumet
Specialty
Products
Partners
LP
8
.125
01/15/27
3,992,738‌
7,190,000
e,g
Civitas
Resources,
Inc
8
.375
07/01/28
7,271,247‌
4,370,000
g
Civitas
Resources,
Inc
8
.750
07/01/31
4,430,306‌
515,902
o
Cloud
Peak
Energy,
Inc
12
.000
05/01/25
467,742‌
5,700,000
g
Crestwood
Midstream
Partners
LP
5
.625
05/01/27
5,403,600‌
12,110,000
g
Crestwood
Midstream
Partners
LP
6
.000
02/01/29
11,307,712‌
11,775,000
g
DT
Midstream,
Inc
4
.125
06/15/29
10,333,448‌
1,630,000
g
Energean
Israel
Finance
Ltd
4
.875
03/30/26
1,512,575‌
5,800,000
g
Energean
Israel
Finance
Ltd
5
.375
03/30/28
5,217,738‌
7,969,000
g
Energean
Israel
Finance
Ltd
5
.875
03/30/31
6,944,983‌
10,000,000
Energy
Transfer
LP
6
.500
N/A‡
9,083,200‌
1,569,000
g
EnLink
Midstream
LLC
5
.625
01/15/28
1,518,295‌
10,040,000
g
EnLink
Midstream
LLC
6
.500
09/01/30
10,027,768‌
1,365,000
g
EQM
Midstream
Partners
LP
7
.500
06/01/27
1,378,063‌
7,200,000
g
EQM
Midstream
Partners
LP
6
.500
07/01/27
7,101,152‌
4,250,000
g
EQM
Midstream
Partners
LP
4
.500
01/15/29
3,790,545‌
5,255,000
g
EQM
Midstream
Partners
LP
4
.750
01/15/31
4,603,296‌
19,700,000
EQT
Midstream
Partners
LP
6
.500
07/15/48
17,815,776‌
4,400,000
Genesis
Energy
LP
6
.500
10/01/25
4,333,094‌
15,000,000
Genesis
Energy
LP
6
.250
05/15/26
14,203,933‌
2,500,000
Genesis
Energy
LP
8
.000
01/15/27
2,437,754‌
6,485,000
Genesis
Energy
LP
8
.875
04/15/30
6,335,810‌
6,340,000
g
Hilcorp
Energy
I
LP
5
.750
02/01/29
5,740,796‌
6,185,000
g
Hilcorp
Energy
I
LP
6
.000
04/15/30
5,631,901‌
6,166,000
g
Hilcorp
Energy
I
LP
6
.000
02/01/31
5,496,231‌
283
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
8,685,000
g
Hilcorp
Energy
I
LP
6
.250
%
04/15/32
$
7,741,591‌
10,205,000
g
Holly
Energy
Partners
LP
6
.375
04/15/27
10,080,740‌
6,685,000
g
Matador
Resources
Co
6
.875
04/15/28
6,616,768‌
8,990,000
g
NGL
Energy
Operating
LLC
7
.500
02/01/26
8,853,997‌
6,658,000
g
Parkland
Corp
4
.500
10/01/29
5,775,815‌
9,440,000
g
Parkland
Corp
4
.625
05/01/30
8,184,999‌
5,900,000
SM
Energy
Co
6
.750
09/15/26
5,750,784‌
7,500,000
SM
Energy
Co
6
.625
01/15/27
7,284,375‌
4,475,000
g
Transocean
Titan
Financing
Ltd
8
.375
02/01/28
4,570,094‌
3,425,000
g
Transocean,
Inc
8
.750
02/15/30
3,476,375‌
18,000,000
USA
Compression
Partners
LP
6
.875
04/01/26
17,632,696‌
2,720,000
USA
Compression
Partners
LP
6
.875
09/01/27
2,597,313‌
4,535,000
g
Venture
Global
LNG,
Inc
8
.125
06/01/28
4,605,903‌
TOTAL
ENERGY
274,396,783‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
0
.7
%
6,015,000
g
HAT
Holdings
I
LLC
3
.375
06/15/26
5,390,904‌
10,100,000
g
Uniti
Group
LP
10
.500
02/15/28
10,019,843‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
15,410,747‌
FINANCIAL
SERVICES
-
6
.0
%
10,625,000
Ally
Financial,
Inc
6
.700
02/14/33
9,400,873‌
9,447,000
g
Compass
Group
Diversified
Holdings
LLC
5
.250
04/15/29
8,280,466‌
10,000,000
g
Compass
Group
Diversified
Holdings
LLC
5
.000
01/15/32
8,071,423‌
13,330,000
Ford
Motor
Credit
Co
LLC
4
.950
05/28/27
12,574,016‌
2,250,000
Icahn
Enterprises
LP
6
.250
05/15/26
2,047,758‌
9,930,000
Icahn
Enterprises
LP
5
.250
05/15/27
8,563,629‌
15,375,000
Icahn
Enterprises
LP
4
.375
02/01/29
12,080,138‌
3,000,000
g
LPL
Holdings,
Inc
4
.000
03/15/29
2,631,955‌
5,000,000
Navient
Corp
6
.750
06/25/25
4,916,000‌
4,000,000
Navient
Corp
5
.000
03/15/27
3,578,489‌
10,000,000
Navient
Corp
4
.875
03/15/28
8,563,400‌
5,450,000
Navient
Corp
5
.500
03/15/29
4,646,507‌
11,735,000
OneMain
Finance
Corp
3
.500
01/15/27
10,067,926‌
10,000,000
OneMain
Finance
Corp
4
.000
09/15/30
7,700,000‌
5,120,000
g
Rocket
Mortgage
LLC
2
.875
10/15/26
4,531,200‌
10,000,000
g
Rocket
Mortgage
LLC
3
.875
03/01/31
8,108,575‌
5,000,000
g
Rocket
Mortgage
LLC
4
.000
10/15/33
3,911,200‌
5,000,000
Springleaf
Finance
Corp
5
.375
11/15/29
4,250,738‌
TOTAL
FINANCIAL
SERVICES
123,924,293‌
FOOD,
BEVERAGE
&
TOBACCO
-
1
.3
%
7,615,000
g
Darling
Ingredients,
Inc
6
.000
06/15/30
7,437,221‌
19,950,000
g
Primo
Water
Holdings,
Inc
4
.375
04/30/29
17,094,157‌
3,250,000
g
Triton
Water
Holdings,
Inc
6
.250
04/01/29
2,789,215‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
27,320,593‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
3
.4
%
2,500,000
g
CHS/Community
Health
Systems,
Inc
8
.000
03/15/26
2,435,243‌
2,275,000
g
CHS/Community
Health
Systems,
Inc
5
.625
03/15/27
2,004,816‌
3,850,000
e,g
CHS/Community
Health
Systems,
Inc
8
.000
12/15/27
3,726,986‌
11,455,000
g
CHS/Community
Health
Systems,
Inc
5
.250
05/15/30
9,023,415‌
12,025,000
g
DaVita,
Inc
4
.625
06/01/30
10,323,197‌
6,540,000
g
DaVita,
Inc
3
.750
02/15/31
5,228,941‌
15,000,000
g
Global
Medical
Response,
Inc
6
.500
10/01/25
8,250,000‌
14,580,000
g
MPH
Acquisition
Holdings
LLC
5
.500
09/01/28
12,428,412‌
10,230,000
MPT
Operating
Partnership
LP
5
.000
10/15/27
8,606,694‌
8,720,000
e
Tenet
Healthcare
Corp
6
.125
10/01/28
8,394,744‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
70,422,448‌
High-Yield
Fund
June
30,
2023
284
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.5
%
$
12,311,000
g
Kronos
Acquisition
Holdings,
Inc
7
.000
%
12/31/27
$
10,898,067‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
10,898,067‌
INSURANCE
-
2
.6
%
5,000,000
g
Acrisure
LLC
7
.000
11/15/25
4,840,431‌
18,513,000
g
Acrisure
LLC
4
.250
02/15/29
15,980,344‌
11,725,000
g
Alliant
Holdings
Intermediate
LLC
4
.250
10/15/27
10,521,932‌
8,975,000
g
Alliant
Holdings
Intermediate
LLC
6
.750
04/15/28
8,900,852‌
8,085,000
g
AmWINS
Group,
Inc
4
.875
06/30/29
7,300,618‌
5,995,000
g
NFP
Corp
7
.500
10/01/30
5,804,392‌
TOTAL
INSURANCE
53,348,569‌
MATERIALS
-
8
.0
%
2,500,000
g
Ardagh
Metal
Packaging
Finance
USA
LLC
3
.250
09/01/28
2,147,420‌
5,025,000
g
Ardagh
Metal
Packaging
Finance
USA
LLC
4
.000
09/01/29
3,979,769‌
6,110,000
g
Avient
Corp
7
.125
08/01/30
6,179,801‌
10,250,000
Celanese
US
Holdings
LLC
6
.330
07/15/29
10,179,466‌
10,200,000
e,g
Constellium
SE
3
.750
04/15/29
8,677,721‌
10,000,000
g
EverArc
Escrow
Sarl
5
.000
10/30/29
7,946,300‌
4,750,000
e,g
First
Quantum
Minerals
Ltd
6
.875
03/01/26
4,675,915‌
2,570,000
g
First
Quantum
Minerals
Ltd
6
.875
10/15/27
2,507,035‌
15,000,000
g
FMG
Resources
August
2006
Pty
Ltd
5
.875
04/15/30
14,283,813‌
4,760,000
g
GrafTech
Global
Enterprises,
Inc
9
.875
12/15/28
4,724,300‌
6,000,000
g
LABL,
Inc
6
.750
07/15/26
5,898,212‌
7,500,000
g
LABL,
Inc
5
.875
11/01/28
6,821,103‌
5,140,000
g
Mauser
Packaging
Solutions
Holding
Co
7
.875
08/15/26
5,106,633‌
15,785,000
g
Mineral
Resources
Ltd
8
.000
11/01/27
15,762,457‌
8,485,000
g
Olympus
Water
US
Holding
Corp
4
.250
10/01/28
6,707,786‌
15,470,000
g
Pactiv
Evergreen
Group
Issuer,
Inc
4
.375
09/30/28
13,394,917‌
15,690,000
g
SunCoke
Energy,
Inc
4
.875
06/30/29
13,177,357‌
7,000,000
g
Trinseo
Materials
Operating
S.C.A
5
.375
09/01/25
5,849,830‌
7,000,000
g
Trinseo
Materials
Operating
S.C.A
5
.125
04/01/29
3,237,500‌
10,692,000
g
Tronox,
Inc
4
.625
03/15/29
8,885,407‌
12,155,000
g
Unifrax
Escrow
Issuer
Corp
5
.250
09/30/28
8,775,059‌
5,320,000
g,h
Windsor
Holdings
III
LLC
8
.500
06/15/30
5,295,102‌
TOTAL
MATERIALS
164,212,903‌
MEDIA
&
ENTERTAINMENT
-
11
.1
%
5,000,000
g
Altice
Financing
S.A.
5
.000
01/15/28
3,995,818‌
8,860,000
g
Arches
Buyer,
Inc
4
.250
06/01/28
7,709,905‌
12,375,000
g
Cablevision
Lightpath
LLC
3
.875
09/15/27
10,364,063‌
5,120,000
g
CCO
Holdings
LLC
5
.375
06/01/29
4,628,966‌
20,000,000
g
CCO
Holdings
LLC
6
.375
09/01/29
18,843,174‌
12,250,000
g
CCO
Holdings
LLC
4
.500
08/15/30
10,200,466‌
19,025,000
g
CCO
Holdings
LLC
4
.250
02/01/31
15,390,649‌
10,800,000
CCO
Holdings
LLC
4
.500
05/01/32
8,623,332‌
6,615,000
e,g
Cinemark
USA,
Inc
5
.250
07/15/28
5,818,659‌
5,980,000
g
CSC
Holdings
LLC
5
.500
04/15/27
4,975,292‌
3,500,000
g
CSC
Holdings
LLC
11
.250
05/15/28
3,394,055‌
15,000,000
g
CSC
Holdings
LLC
4
.125
12/01/30
10,492,889‌
11,170,000
g
DIRECTV
Holdings
LLC
5
.875
08/15/27
10,115,945‌
9,400,000
DISH
DBS
Corp
7
.375
07/01/28
5,029,000‌
10,000,000
g
DISH
Network
Corp
11
.750
11/15/27
9,759,112‌
6,900,000
g
Gray
Television,
Inc
4
.750
10/15/30
4,679,097‌
10,000,000
iHeartCommunications,
Inc
6
.375
05/01/26
8,392,546‌
14,650,000
g
LCPR
Senior
Secured
Financing
DAC
5
.125
07/15/29
12,310,195‌
16,108,000
g
Rackspace
Technology
Global,
Inc
3
.500
02/15/28
7,249,051‌
4,000,000
g
Sirius
XM
Radio,
Inc
5
.000
08/01/27
3,711,160‌
8,650,000
g
Sirius
XM
Radio,
Inc
4
.000
07/15/28
7,515,745‌
12,000,000
g
Univision
Communications,
Inc
4
.500
05/01/29
10,309,886‌
10,240,000
g
UPC
Broadband
Finco
BV
4
.875
07/15/31
8,428,442‌
285
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MEDIA
&
ENTERTAINMENT—continued
$
5,000,000
g
UPC
Holding
BV
5
.500
%
01/15/28
$
4,364,828‌
17,325,000
g
Virgin
Media
Secured
Finance
plc
5
.500
05/15/29
15,671,386‌
20,860,000
g
VZ
Secured
Financing
BV
5
.000
01/15/32
16,799,945‌
TOTAL
MEDIA
&
ENTERTAINMENT
228,773,606‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
2
.3
%
9,350,000
g
Bausch
Health
Cos,
Inc
4
.875
06/01/28
5,565,120‌
5,000,000
g
Embecta
Corp
5
.000
02/15/30
4,151,400‌
6,605,000
g
Embecta
Corp
6
.750
02/15/30
5,919,141‌
10,125,000
g
Emergent
BioSolutions,
Inc
3
.875
08/15/28
5,888,749‌
14,000,000
g
Organon
Finance  LLC
5
.125
04/30/31
11,550,340‌
10,215,000
Teva
Pharmaceutical
Finance
Netherlands
III
BV
4
.750
05/09/27
9,449,614‌
5,000,000
e
Teva
Pharmaceutical
Finance
Netherlands
III
BV
5
.125
05/09/29
4,535,504‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
47,059,868‌
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
-
1
.8
%
9,145,000
g
Cushman
&
Wakefield
US
Borrower
LLC
6
.750
05/15/28
8,276,225‌
12,000,000
g
Hunt
Cos,
Inc
5
.250
04/15/29
9,528,371‌
3,472,000
Kennedy-Wilson,
Inc
4
.750
03/01/29
2,745,147‌
7,000,000
Kennedy-Wilson,
Inc
5
.000
03/01/31
5,238,835‌
15,380,000
e,g
Realogy
Group
LLC
5
.250
04/15/30
10,930,329‌
TOTAL
REAL
ESTATE
MANAGEMENT
&
DEVELOPMENT
36,718,907‌
SOFTWARE
&
SERVICES
-
0
.6
%
3,375,000
g
CA
Magnum
Holdings
5
.375
10/31/26
3,021,850‌
9,672,000
g
j2
Global,
Inc
4
.625
10/15/30
8,377,088‌
TOTAL
SOFTWARE
&
SERVICES
11,398,938‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
2
.5
%
20,700,000
g
Ahead
DB
Holdings
LLC
6
.625
05/01/28
16,834,689‌
28,520,000
g
Imola
Merger
Corp
4
.750
05/15/29
24,804,001‌
10,400,000
g
Viasat,
Inc
5
.625
09/15/25
10,077,496‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
51,716,186‌
TELECOMMUNICATION
SERVICES
-
3
.2
%
10,000,000
g
Altice
France
S.A.
5
.125
07/15/29
7,098,734‌
4,240,000
g
Altice
France
S.A.
5
.500
10/15/29
3,032,203‌
1,800,000
g
Connect
Finco
SARL
6
.750
10/01/26
1,748,370‌
10,000,000
e,g
Frontier
Communications
Holdings
LLC
6
.000
01/15/30
7,355,813‌
8,210,000
g
Frontier
Communications
Holdings
LLC
8
.625
03/15/31
7,945,702‌
12,695,000
g
Iliad
Holding
SASU
6
.500
10/15/26
11,981,832‌
9,415,000
g
Iliad
Holding
SASU
7
.000
10/15/28
8,677,281‌
15,000,000
g
Level
3
Financing,
Inc
4
.625
09/15/27
10,437,030‌
7,745,000
g
Virgin
Media
Finance
plc
5
.000
07/15/30
6,165,756‌
2,050,000
g
Vmed
O2
UK
Financing
I
plc
4
.250
01/31/31
1,657,544‌
TOTAL
TELECOMMUNICATION
SERVICES
66,100,265‌
TRANSPORTATION
-
2
.6
%
6,785,000
g
Allegiant
Travel
Co
7
.250
08/15/27
6,759,963‌
10,000,000
g
American
Airlines,
Inc
5
.500
04/20/26
9,906,897‌
6,805,000
g
American
Airlines,
Inc
7
.250
02/15/28
6,764,467‌
2,500,000
g
American
Airlines,
Inc
5
.750
04/20/29
2,427,447‌
13,950,000
g
Cargo
Aircraft
Management,
Inc
4
.750
02/01/28
12,221,177‌
3,995,561
g
Mileage
Plus
Holdings
LLC
6
.500
06/20/27
4,005,537‌
6,550,000
g
United
Airlines,
Inc
4
.375
04/15/26
6,223,192‌
3,550,000
g
United
Airlines,
Inc
4
.625
04/15/29
3,234,646‌
2,805,000
g
XPO,
Inc
7
.125
06/01/31
2,826,778‌
TOTAL
TRANSPORTATION
54,370,104‌
UTILITIES
-
4
.8
%
8,595,000
AmeriGas
Partners
LP
5
.875
08/20/26
8,084,460‌
High-Yield
Fund
June
30,
2023
286
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
7,400,000
g
Clearway
Energy
Operating
LLC
4
.750
%
03/15/28
$
6,827,390‌
10,000,000
Edison
International
5
.375
N/A‡
8,739,000‌
10,285,000
g
Ferrellgas
Escrow
LLC
5
.375
04/01/26
9,566,007‌
22,698,000
g
Ferrellgas
Escrow
LLC
5
.875
04/01/29
19,016,282‌
8,175,000
Suburban
Propane
Partners
LP
5
.875
03/01/27
7,898,483‌
1,800,000
g
Suburban
Propane
Partners
LP
5
.000
06/01/31
1,506,869‌
9,836,000
g
Superior
Plus
LP
4
.500
03/15/29
8,622,434‌
18,435,000
g
Talen
Energy
Supply
LLC
8
.625
06/01/30
19,080,225‌
10,000,000
g
TerraForm
Power
Operating
LLC
5
.000
01/31/28
9,206,600‌
TOTAL
UTILITIES
98,547,750‌
TOTAL
CORPORATE
BONDS
1,853,730,559‌
(Cost
$2,067,472,402)
SHARES
REFERENCERATE
&
SPREAD
COMMON
STOCKS
-
0.9%
ENERGY
-
0
.0
%
7,963
*,†
Cloud
Peak
Energy,
Inc
80‌
TOTAL
ENERGY
80‌
FINANCIAL
SERVICES
-
0
.9
%
930,535
e
Invesco
Senior
Loan
ETF
19,578,456‌
TOTAL
FINANCIAL
SERVICES
19,578,456‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.0
%
5,572
*
Bright
Bidco
BV
4,630‌
22,100
*,†
Bright
Bidco
BV
9,026‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
13,656‌
TOTAL
COMMON
STOCKS
19,592,192‌
(Cost
$20,433,583)
TOTAL
LONG-TERM
INVESTMENTS
2,019,334,310‌
(Cost
$2,239,868,250)
PRINCIPAL
RATE
MATURITY
DATE
SHORT-TERM
INVESTMENTS
-
1.7%
GOVERNMENT
AGENCY
DEBT
-
0
.5
%
$
10,000,000
Tennessee
Valley
Authority
(TVA)
0
.000
07/05/23
9,997,316‌
TOTAL
GOVERNMENT
AGENCY
DEBT
9,997,316‌
REPURCHASE
AGREEMENT
-
1
.2
%
24,730,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
07/03/23
24,730,000‌
TOTAL
REPURCHASE
AGREEMENT
24,730,000‌
TOTAL
SHORT-TERM
INVESTMENTS
34,727,316‌
(Cost
$34,724,401)
SHARES
EXP
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
4.0%
82,367,105
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5
.110
82,367,105‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
82,367,105‌
(Cost
$82,367,105)
TOTAL
INVESTMENTS
-
103.5%
2,136,428,731‌
(Cost
$2,356,959,756)
OTHER
ASSETS
&
LIABILITIES,
NET
-
(3.5)%
(
72,783,177‌
)
NET
ASSETS
-
100.0%
$
2,063,645,554‌
287
See
Notes
to
Portfolios
of
Investments
SHARES
DESCRIPTION
RATE
EXP
VALUE
CME
Chicago
Mercantile
Exchange
ETF
Exchange
Traded
Fund
LIBOR
London
Interbank
Offered
Rate
M
Month
SOFR
Secure
Overnight
Financing
Rate
*
Non-income
producing
For
fair
value
measurement
disclosure
purposes,
investment
classified
as
Level
3.
Perpetual
security
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$86,285,571.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
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
r
Agreement
with
Fixed
Income
Clearing
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$24,730,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
3.250%
and
maturity
date
6/30/27,
valued
at
$25,224,695.
Inflation-Linked
Bond
Fund
June
30,
2023
Portfolio
of
Investments
288
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
98.9%
GOVERNMENT
BONDS
-
98
.9
%
AGENCY
SECURITIES
-
0
.6
%
$
9,000,000
Federal
National
Mortgage
Association
(FNMA)
1
.625
%
08/24/35
$
6,431,484‌
1,173,689
HNA
LLC
2
.369
09/18/27
1,099,219‌
7,315,000
Montefiore
Medical
Center
2
.895
04/20/32
6,571,938‌
1,973,684
Reliance
Industries
Ltd
2
.444
01/15/26
1,887,632‌
TOTAL
AGENCY
SECURITIES
15,990,273‌
MORTGAGE
BACKED
-
2
.0
%
8,718,571
Government
National
Mortgage
Association
(GNMA)
3
.600
09/15/31
8,525,312‌
4,601,982
GNMA
3
.700
10/15/33
4,389,591‌
1,364,044
GNMA
3
.380
07/15/35
1,297,583‌
1,313,639
GNMA
3
.870
10/15/36
1,258,483‌
4,787,520
GNMA
3
.940
03/15/37
4,536,617‌
17,423,912
GNMA
1
.730
07/15/37
14,721,076‌
12,656,355
GNMA
1
.650
07/15/42
10,398,023‌
12,644,730
GNMA
2
.750
01/15/45
11,228,035‌
TOTAL
MORTGAGE
BACKED
56,354,720‌
U.S.
TREASURY
SECURITIES
-
96
.3
%
83,577,056
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.625
01/15/24
82,160,165‌
27,683,350
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.500
04/15/24
27,013,435‌
52,223,535
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
07/15/24
50,657,849‌
93,735,692
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
10/15/24
90,411,920‌
100,821,363
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.250
01/15/25
96,647,713‌
81,171,715
k
United
States
Treasury
Inflation
Indexed
Bonds
2
.375
01/15/25
80,321,155‌
36,458,659
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
04/15/25
34,682,012‌
147,045,476
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.375
07/15/25
140,711,320‌
109,105,347
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
10/15/25
103,432,721‌
118,894,397
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.625
01/15/26
113,361,860‌
60,530,995
k
United
States
Treasury
Inflation
Indexed
Bonds
2
.000
01/15/26
59,721,156‌
49,265,277
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
04/15/26
46,192,452‌
119,721,271
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
07/15/26
112,450,309‌
144,286,490
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
10/15/26
134,876,870‌
124,849,792
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.375
01/15/27
117,135,684‌
45,653,329
k
United
States
Treasury
Inflation
Indexed
Bonds
2
.375
01/15/27
45,879,813‌
16,113,900
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
04/15/27
14,913,540‌
110,151,558
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.375
07/15/27
103,246,647‌
84,728,553
k
United
States
Treasury
Inflation
Indexed
Bonds
1
.625
10/15/27
83,475,000‌
127,002,337
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.500
01/15/28
118,779,432‌
25,430,493
k
United
States
Treasury
Inflation
Indexed
Bonds
1
.750
01/15/28
25,132,728‌
66,544,010
k
United
States
Treasury
Inflation
Indexed
Bonds
1
.250
04/15/28
64,381,330‌
46,471,870
k
United
States
Treasury
Inflation
Indexed
Bonds
3
.625
04/15/28
49,874,361‌
90,915,595
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.750
07/15/28
86,140,751‌
88,558,743
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.875
01/15/29
83,812,548‌
51,825,576
k
United
States
Treasury
Inflation
Indexed
Bonds
2
.500
01/15/29
53,364,148‌
41,857,261
k
United
States
Treasury
Inflation
Indexed
Bonds
3
.875
04/15/29
46,236,740‌
62,217,826
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.250
07/15/29
56,801,716‌
69,752,094
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
01/15/30
62,556,185‌
123,643,138
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
07/15/30
110,856,216‌
90,883,260
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
01/15/31
80,750,309‌
136,296,071
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
07/15/31
120,828,331‌
4,218,321
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.125
01/15/32
3,712,452‌
54,199,548
k
United
States
Treasury
Inflation
Indexed
Bonds
3
.375
04/15/32
61,618,111‌
31,839,865
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.625
07/15/32
29,256,607‌
132,117,938
k
United
States
Treasury
Inflation
Indexed
Bonds
1
.125
01/15/33
126,550,663‌
289
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
U.S.
TREASURY
SECURITIES—continued
$
3,523,372
k
United
States
Treasury
Inflation
Indexed
Bonds
1
.500
%
02/15/53
$
3,424,105‌
TOTAL
U.S.
TREASURY
SECURITIES
2,721,368,354‌
TOTAL
GOVERNMENT
BONDS
2,793,713,347‌
(Cost
$3,002,533,316)
TOTAL
LONG-TERM
INVESTMENTS
2,793,713,347‌
(Cost
$3,002,533,316)
REFERENCERATE
&
SPREAD
SHORT-TERM
INVESTMENTS
-
0.1%
REPURCHASE
AGREEMENT
-
0
.1
%
$
2,110,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
07/03/23
2,110,000‌
TOTAL
REPURCHASE
AGREEMENT
2,110,000‌
TOTAL
SHORT-TERM
INVESTMENTS
2,110,000‌
(Cost
$2,110,000)
TOTAL
INVESTMENTS
-
99.0%
2,795,823,347‌
(Cost
$3,004,643,316)
OTHER
ASSETS
&
LIABILITIES,
NET
-
1.0%
29,388,501‌
NET
ASSETS
-
100.0%
$
2,825,211,848‌
k
Principal
amount
for
interest
accrual
purposes
is
periodically
adjusted
based
on
changes
in
the
Consumer
Price
Index.
r
Agreement
with
Fixed
Income
Clearing
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$2,110,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
1.500%
and
maturity
date
11/30/28,
valued
at
$2,152,221.
Futures
Contracts
-
Long
Description
Number
of
Contracts
Expiration
Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
U.S.
Treasury
10-Year
Note
154‌
09/20/23
 $
17,616,472‌
$
17,288,906‌
 $
(
327,566‌
)
U.S.
Treasury
2-Year
Note
168‌
09/29/23
34,634,437‌
34,161,750‌
(
472,687‌
)
U.S.
Treasury
5-Year
Note
155‌
09/29/23
16,792,836‌
16,599,532‌
(
193,305‌
)
Total
477‌
 $
69,043,745‌
 $
68,050,188‌
$
(
993,558‌
)
Short
Duration
Impact
Bond
Fund
June
30,
2023
Portfolio
of
Investments
290
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
96.6%
BANK
LOAN
OBLIGATIONS
-
2.8%
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.7
%
$
491,250
i
LTR
Intermediate
Holdings,
Inc
LIBOR
4
M
+
4.500%
9
.654
%
05/05/28
$
438,851‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
438,851‌
UTILITIES
-
2
.1
%
434,973
i
Exgen
Renewables
IV
LLC
SOFR
4
M
+
2.500%
8
.025
12/15/27
432,935‌
992,500
i
TerraForm
Power
Operating
LLC
SOFR
3
M
+
2.750%
7
.948
05/30/29
983,816‌
TOTAL
UTILITIES
1,416,751‌
TOTAL
BANK
LOAN
OBLIGATIONS
1,855,602‌
(Cost
$1,900,309)
CORPORATE
BONDS
-
25
.5
%
AUTOMOBILES
&
COMPONENTS
-
1
.0
%
500,000
Magna
International,
Inc
3
.625
06/15/24
490,018‌
150,000
g
ZF
North
America
Capital,
Inc
6
.875
04/14/28
151,903‌
TOTAL
AUTOMOBILES
&
COMPONENTS
641,921‌
BANKS
-
5
.5
%
250,000
i
Bank
of
Montreal
SOFR
Compounded
Index
+
0.265%
5
.356
09/15/23
249,962‌
500,000
Citigroup,
Inc
0
.776
10/30/24
491,171‌
500,000
i
Citigroup,
Inc
LIBOR
3
M
+
1.250%
6
.783
07/01/26
504,891‌
250,000
JPMorgan
Chase
&
Co
0
.653
09/16/24
247,082‌
500,000
JPMorgan
Chase
&
Co
0
.563
02/16/25
482,601‌
500,000
JPMorgan
Chase
&
Co
0
.768
08/09/25
470,917‌
250,000
Mitsubishi
UFJ
Financial
Group,
Inc
2
.527
09/13/23
248,288‌
250,000
National
Bank
of
Canada
0
.550
11/15/24
244,774‌
300,000
g,i
UBS
AG.
SOFR
+
0.450%
5
.540
08/09/24
298,985‌
425,000
Wells
Fargo
&
Co
4
.540
08/15/26
415,264‌
TOTAL
BANKS
3,653,935‌
CAPITAL
GOODS
-
0
.4
%
250,000
g,i
Siemens
Financieringsmaatschappij
NV
SOFR
+
0.430%
5
.520
03/11/24
250,291‌
TOTAL
CAPITAL
GOODS
250,291‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.7
%
500,000
Lowe's
Cos,
Inc
4
.800
04/01/26
495,074‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
495,074‌
CONSUMER
SERVICES
-
2
.4
%
250,000
BB
Blue
Financing
DAC
4
.395
09/20/29
245,505‌
275,000
h
Hyatt
Hotels
Corp
5
.750
01/30/27
274,294‌
550,000
Nature
Conservancy
0
.467
07/01/23
550,000‌
260,000
i
Nature
Conservancy
LIBOR
3
M
+
1.080%
6
.379
02/01/24
260,565‌
300,000
Nature
Conservancy
2
.668
03/01/26
274,501‌
TOTAL
CONSUMER
SERVICES
1,604,865‌
ENERGY
-
0
.8
%
525,000
Pioneer
Natural
Resources
Co
5
.100
03/29/26
521,850‌
TOTAL
ENERGY
521,850‌
291
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
0
.7
%
$
300,000
Federal
Realty
Investment
Trust
1
.250
%
02/15/26
$
267,842‌
250,000
g
HAT
Holdings
I
LLC
3
.375
06/15/26
224,061‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
491,903‌
FINANCIAL
SERVICES
-
5
.4
%
200,000
i
AerCap
Ireland
Capital
DAC
SOFR
+
0.680%
5
.772
09/29/23
199,722‌
645,000
g
Federation
des
Caisses
Desjardins
du
Quebec
0
.450
10/07/23
635,881‌
350,000
g
Federation
des
Caisses
Desjardins
du
Quebec
5
.700
03/14/28
349,587‌
250,000
Goldman
Sachs
Group,
Inc
0
.855
02/12/26
230,363‌
500,000
Morgan
Stanley
0
.791
01/22/25
484,534‌
500,000
National
Rural
Utilities
Cooperative
Finance
Corp
3
.400
11/15/23
495,628‌
260,000
g
NongHyup
Bank
1
.250
07/20/25
237,985‌
250,000
g
WLB
Asset
II
B
Pte
Ltd
3
.950
12/10/24
235,976‌
250,000
g
WLB
Asset
II
C
Pte
Ltd
3
.900
12/23/25
227,148‌
250,000
g
WLB
Asset
II
D
Pte
Ltd
6
.500
12/21/26
236,826‌
250,000
g
WLB
Asset
II
Pte
Ltd
4
.000
01/14/24
245,205‌
TOTAL
FINANCIAL
SERVICES
3,578,855‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
0
.9
%
600,000
McKesson
Corp
5
.250
02/15/26
597,740‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
597,740‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.3
%
250,000
Unilever
Capital
Corp
0
.626
08/12/24
236,759‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
236,759‌
MATERIALS
-
0
.5
%
200,000
g
Cemex
SAB
de
C.V.
9
.125
N/A‡
202,549‌
145,000
g
Owens-Brockway
Glass
Container,
Inc
7
.250
05/15/31
146,813‌
TOTAL
MATERIALS
349,362‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
0
.7
%
250,000
AstraZeneca
plc
0
.700
04/08/26
223,348‌
275,000
Pfizer
Investment
Enterprises
Pte
Ltd
4
.650
05/19/25
272,550‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
495,898‌
TELECOMMUNICATION
SERVICES
-
0
.4
%
250,000
i
Verizon
Communications,
Inc
SOFR
Compounded
Index
+
0.790%
5
.882
03/20/26
250,299‌
TOTAL
TELECOMMUNICATION
SERVICES
250,299‌
UTILITIES
-
5
.8
%
500,000
Avangrid,
Inc
3
.150
12/01/24
479,563‌
600,000
g
Brooklyn
Union
Gas
Co
4
.632
08/05/27
575,191‌
1,000,000
DTE
Electric
Co
1
.900
04/01/28
874,881‌
274,650
g
India
Cleantech
Energy
4
.700
08/10/26
239,742‌
500,000
g
Korea
Hydro
&
Nuclear
Power
Co
Ltd
3
.750
07/25/23
499,365‌
300,000
National
Fuel
Gas
Co
5
.500
01/15/26
295,730‌
300,000
National
Fuel
Gas
Co
5
.500
10/01/26
292,510‌
250,000
Public
Service
Co
of
Colorado
3
.700
06/15/28
237,225‌
412,989
SCE
Recovery
Funding
LLC
1
.977
11/15/28
374,894‌
TOTAL
UTILITIES
3,869,101‌
TOTAL
CORPORATE
BONDS
17,037,853‌
(Cost
$17,406,603)
GOVERNMENT
BONDS
-
49
.8
%
AGENCY
SECURITIES
-
6
.9
%
77,022
Export-Import
Bank
of
the
United
States
1
.822
05/03/25
74,207‌
250,000
e
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
1
.500
02/12/25
235,994‌
500,000
Federal
National
Mortgage
Association
(FNMA)
0
.250
07/10/23
499,548‌
594,375
Harar
Leasing
2013
LLC
2
.582
07/02/25
565,321‌
Short
Duration
Impact
Bond
Fund
June
30,
2023
292
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
AGENCY
SECURITIES—continued
$
395,348
Lulwa
Ltd
1
.831
%
03/26/25
$
380,209‌
187,367
Overseas
Private
Investment
Corp
(OPIC)
1
.790
10/15/29
167,315‌
353,698
Penta
Aircraft
Leasing
LLC
1
.691
04/29/25
340,198‌
250,000
Private
Export
Funding
Corp
(PEFCO)
3
.550
01/15/24
247,383‌
75,648
Purple
Chen
2011
LLC
2
.735
08/01/23
75,447‌
236,864
Safina
Ltd
2
.000
12/30/23
232,121‌
59,588
Sandalwood
LLC
2
.821
02/12/26
57,039‌
642,100
Thirax  LLC
0
.968
01/14/33
540,604‌
187,367
United
States
International
Development
Finance
Corp
1
.050
10/15/29
163,081‌
250,000
US
Department
of
Housing
and
Urban
Development
(HUD)
2
.618
08/01/23
249,351‌
272,610
i
Washington
Aircraft
2
Co
Ltd
LIBOR
3
M
+
0.430%
5
.972
06/26/24
272,691‌
539,723
Windermere
Aviation
LLC
2
.351
05/27/26
512,484‌
TOTAL
AGENCY
SECURITIES
4,612,993‌
FOREIGN
GOVERNMENT
BONDS
-
9
.6
%
360,000
Asian
Development
Bank
4
.625
06/13/25
357,492‌
250,000
g
BNG
Bank
NV
3
.500
05/19/28
240,433‌
250,000
g
Central
American
Bank
for
Economic
Integration
5
.000
02/09/26
247,149‌
500,000
Council
Of
Europe
Development
Bank
3
.000
06/16/25
481,066‌
250,000
European
Investment
Bank
0
.250
09/15/23
247,550‌
500,000
g
European
Stability
Mechanism
1
.375
09/11/24
476,745‌
450,000
Export
Development
Canada
3
.875
02/14/28
441,851‌
1,000,000
Hydro-Quebec
8
.050
07/07/24
1,021,365‌
250,000
Inter-American
Investment
Corp
2
.625
04/22/25
238,698‌
500,000
Inter-American
Investment
Corp
4
.125
02/15/28
491,874‌
1,000,000
International
Bank
for
Reconstruction
&
Development
0
.250
11/24/23
980,161‌
250,000
International
Bank
for
Reconstruction
&
Development
0
.000
03/31/27
224,353‌
500,000
International
Bank
for
Reconstruction
&
Development
0
.000
03/31/28
489,445‌
250,000
i
International
Finance
Corp
SOFR
+
0.090%
5
.182
04/03/24
250,002‌
250,000
g
Nederlandse
Waterschapsbank
NV
1
.750
01/15/25
236,937‌
TOTAL
FOREIGN
GOVERNMENT
BONDS
6,425,121‌
MORTGAGE
BACKED
-
0
.1
%
36,454
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
1.650%
6
.465
01/25/34
36,409‌
TOTAL
MORTGAGE
BACKED
36,409‌
MUNICIPAL
BONDS
-
5
.6
%
45,000
g
California
Municipal
Finance
Authority
4
.250
11/01/23
44,567‌
440,000
California
Municipal
Finance
Authority
1
.622
08/15/25
404,242‌
200,000
City
of
Detroit
MI
2
.189
04/01/24
191,823‌
117,179
City
of
Fort
Wayne
IN
10
.750
12/01/29
12‌
500,000
District
of
Columbia
3
.850
02/28/25
483,663‌
250,000
g
Florida
Development
Finance
Corp
7
.250
07/01/57
254,291‌
250,000
Florida
Development
Finance
Corp
7
.500
07/01/57
246,065‌
850,000
New
York
State
Energy
Research
&
Development
Authority
3
.845
04/01/25
822,471‌
250,000
Pharr
Economic
Development
Corp
3
.016
08/15/26
235,340‌
150,000
Redevelopment
Authority
of
the
City
of
Philadelphia
1
.377
09/01/25
137,154‌
150,000
Redevelopment
Authority
of
the
City
of
Philadelphia
4
.867
09/01/25
147,631‌
357,506
State
of
Hawaii
Department
of
Business
Economic
Development
&
Tourism
3
.242
01/01/31
342,438‌
200,000
g
Warm
Springs
Reservation
Confederated
Tribe
3
.050
11/01/24
192,650‌
250,000
g
Warm
Springs
Reservation
Confederated
Tribe
2
.165
11/01/26
225,086‌
TOTAL
MUNICIPAL
BONDS
3,727,433‌
U.S.
TREASURY
SECURITIES
-
27
.6
%
324,980
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.625
01/15/24
319,470‌
1,400,000
United
States
Treasury
Note
2
.625
12/31/23
1,381,844‌
5,261,000
United
States
Treasury
Note
4
.250
05/31/25
5,194,826‌
5,078,000
United
States
Treasury
Note
4
.625
06/30/25
5,054,792‌
3,455,000
United
States
Treasury
Note
4
.125
06/15/26
3,420,180‌
293
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
U.S.
TREASURY
SECURITIES—continued
$
1,565,000
United
States
Treasury
Note
3
.625
%
05/31/28
$
1,530,766‌
1,562,000
United
States
Treasury
Note
4
.000
06/30/28
1,553,458‌
TOTAL
U.S.
TREASURY
SECURITIES
18,455,336‌
TOTAL
GOVERNMENT
BONDS
33,257,292‌
(Cost
$33,881,701)
STRUCTURED
ASSETS
-
18
.5
%
ASSET
BACKED
-
10
.4
%
418,454
Delta
Air
Lines
Pass
Through
Trust
4
.250
07/30/23
417,236‌
Series
-
2015
1
(Class
B)
1,000,000
Delta
Air
Lines
Pass
Through
Trust
3
.204
04/25/24
979,878‌
Series
-
2019
1
(Class
AA)
205,155
Delta
Air
Lines
Pass
Through
Trust
2
.000
06/10/28
180,603‌
Series
-
2020
1
(Class
AA)
218,677
Delta
Air
Lines
Pass
Through
Trust
2
.500
06/10/28
188,481‌
Series
-
2020
1
(Class
A)
276,763
g
GoodLeap
Sustainable
Home
Solutions
Trust
1
.930
07/20/48
210,316‌
Series
-
2021
4GS
(Class
A)
252,774
g
GoodLeap
Sustainable
Home
Solutions
Trust
2
.560
10/20/48
177,661‌
Series
-
2021
5CS
(Class
B)
107,905
g
HERO
Funding
Trust
4
.050
09/20/41
97,864‌
Series
-
2016
1A
(Class
A)
163,231
g
HERO
Funding
Trust
3
.910
09/20/42
146,134‌
Series
-
2016
3A
(Class
A2)
117,507
g
HERO
Funding
Trust
2
.720
09/20/57
95,483‌
Series
-
2020
1A
(Class
A)
500,000
g
Hertz
Vehicle
Financing
III
LLC
5
.570
09/25/29
491,845‌
Series
-
2023
2A
(Class
A)
118,848
g
Mosaic
Solar
Loan
Trust
2
.100
04/20/46
101,762‌
Series
-
2020
1A
(Class
A)
269,216
g
Mosaic
Solar
Loan
Trust
1
.440
08/20/46
219,909‌
Series
-
2020
2A
(Class
A)
317,170
g
Mosaic
Solar
Loan
Trust
1
.440
06/20/52
251,150‌
Series
-
2021
3A
(Class
A)
250,000
g
Mosaic
Solar
Loan
Trust
1
.770
06/20/52
200,029‌
Series
-
2021
3A
(Class
C)
100,000
g,i
PNMSR
2018-GT1
A
Mtge
LIBOR
1
M
+
3.850%
9
.000
02/25/25
99,983‌
Series
-
2018
GT1
(Class
A)
100,000
g,i
PNMSR
2018-GT1
A
Mtge
LIBOR
1
M
+
2.650%
7
.800
08/25/25
98,890‌
Series
-
2018
GT2
(Class
A)
28,307
g
Renew
3
.670
09/20/52
24,560‌
Series
-
2017
1A
(Class
A)
203,353
g
Sunnova
Helios
VII
Issuer
LLC
2
.030
10/20/48
168,284‌
Series
-
2021
C
(Class
A)
264,182
g
Sunnova
Helios
VIII
Issuer
LLC
2
.790
02/22/49
224,925‌
Series
-
2022
A
(Class
A)
248,928
g
Sunnova
Helios
XI
Issuer
LLC
5
.300
05/20/50
240,406‌
Series
-
2023
A
(Class
A)
450,115
g
Sunrun
Atlas
Issuer
LLC
3
.610
02/01/55
394,113‌
Series
-
2019
2
(Class
A)
346,816
g
Sunrun
Callisto
Issuer
LLC
3
.980
06/30/54
306,354‌
Series
-
2019
1A
(Class
A)
296,431
g
Sunrun
Callisto
Issuer
LLC
2
.270
01/30/57
236,634‌
Series
-
2021
2A
(Class
A)
181,521
g
Tesla
Auto
Lease
Trust
0
.560
03/20/25
180,054‌
Series
-
2021
A
(Class
A3)
600,000
g
Tesla
Auto
Lease
Trust
0
.600
09/22/25
578,573‌
Series
-
2021
B
(Class
A3)
250,000
g
Tesla
Auto
Lease
Trust
1
.320
09/22/25
235,510‌
Series
-
2021
B
(Class
D)
Short
Duration
Impact
Bond
Fund
June
30,
2023
294
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
433,343
g
Vivint
Colar
Financing
V
LLC
7
.370
%
04/30/48
$
396,579‌
Series
-
2018
1A
(Class
B)
TOTAL
ASSET
BACKED
6,943,216‌
OTHER
MORTGAGE
BACKED
-
8
.1
%
250,000
g,i
Alen
Mortgage
Trust
LIBOR
1
M
+
2.250%
7
.443
04/15/34
191,909‌
Series
-
2021
ACEN
(Class
C)
250,000
g
BX
Trust
6
.300
10/13/27
238,486‌
Series
-
2022
CLS
(Class
B)
250,000
g,i
BX
TRUST
SOFR
1
M
+
1.490%
6
.637
01/17/39
244,870‌
Series
-
2022
AHP
(Class
AS)
250,000
g,i
BX
TRUST
CME
Term
SOFR
1
Month
+
2.090%
7
.237
01/17/39
241,249‌
Series
-
2022
AHP
(Class
C)
250,000
g,i
Cityline
Commercial
Mortgage
Trust
2
.871
11/10/31
233,197‌
Series
-
2016
CLNE
(Class
A)
50,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.500%
8
.567
03/25/42
51,088‌
Series
-
2022
R03
(Class
1M2)
27,000
g,i
Connecticut
Avenue
Securities
Trust
SOFR
+
3.600%
8
.667
07/25/42
27,608‌
Series
-
2022
R08
(Class
1M2)
250,000
g,i
DBUBS
Mortgage
Trust
3
.648
10/10/34
200,740‌
Series
-
2017
BRBK
(Class
D)
113,171
GS
Mortgage
Securities
Trust
2
.922
05/10/49
108,150‌
Series
-
2016
GS2
(Class
AAB)
500,000
g,i
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust
LIBOR
1
M
+
1.370%
6
.564
10/15/33
456,112‌
Series
-
2020
609M
(Class
A)
250,000
g,i
MAD
Mortgage
Trust
3
.294
08/15/34
230,069‌
Series
-
2017
330M
(Class
A)
250,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
1.579%
6
.469
07/15/36
235,462‌
Series
-
2019
MILE
(Class
A)
250,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
1.879%
7
.026
07/15/36
229,347‌
Series
-
2019
MILE
(Class
B)
250,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
2.279%
7
.426
07/15/36
225,133‌
Series
-
2019
MILE
(Class
C)
250,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
4.329%
9
.476
07/15/36
183,811‌
Series
-
2019
MILE
(Class
F)
14,133
g,i
OBX
Trust
LIBOR
1
M
+
0.650%
5
.800
06/25/57
13,406‌
Series
-
2018
1
(Class
A2)
250,000
g
One
Market
Plaza
Trust
3
.614
02/10/32
231,452‌
Series
-
2017
1MKT
(Class
A)
250,000
g
One
Market
Plaza
Trust
3
.845
02/10/32
223,943‌
Series
-
2017
1MKT
(Class
B)
27,382,754
g,i
SLG
Office
Trust
0
.258
07/15/41
418,439‌
Series
-
2021
OVA
(Class
X)
500,000
g,i
STWD
Mortgage
Trust
LIBOR
1
M
+
1.257%
6
.450
11/15/36
489,380‌
Series
-
2021
LIH
(Class
AS)
500,000
g,i
STWD
Mortgage
Trust
LIBOR
1
M
+
1.656%
6
.849
11/15/36
489,192‌
Series
-
2021
LIH
(Class
B)
270,000
g,i
STWD
Mortgage
Trust
LIBOR
1
M
+
1.955%
7
.148
11/15/36
261,908‌
Series
-
2021
LIH
(Class
C)
151,090
g
Verus
Securitization
Trust
2
.417
01/25/60
141,788‌
Series
-
2020
1
(Class
A1)
TOTAL
OTHER
MORTGAGE
BACKED
5,366,739‌
TOTAL
STRUCTURED
ASSETS
12,309,955‌
(Cost
$13,392,334)
TOTAL
LONG-TERM
INVESTMENTS
64,460,702‌
(Cost
$66,580,947)
295
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCERATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SHORT-TERM
INVESTMENTS
-
3.9%
REPURCHASE
AGREEMENT
-
3
.9
%
$
2,595,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
%
07/03/23
$
2,595,000‌
TOTAL
REPURCHASE
AGREEMENT
2,595,000‌
TOTAL
SHORT-TERM
INVESTMENTS
2,595,000‌
(Cost
$2,595,000)
SHARES
EXP
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.0%
2,201
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5
.110
2,201‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
2,201‌
(Cost
$2,201)
TOTAL
INVESTMENTS
-
100.5%
67,057,903‌
(Cost
$69,178,148)
OTHER
ASSETS
&
LIABILITIES,
NET
-
(0.5)%
(
314,121‌
)
NET
ASSETS
-
100.0%
$
66,743,782‌
AVG
Average
CME
Chicago
Mercantile
Exchange
D
Day
LIBOR
London
Interbank
Offered
Rate
M
Month
REMIC
Real
Estate
Mortgage
Investment
Conduit
SOFR
Secure
Overnight
Financing
Rate
Perpetual
security
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$1,888.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
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.
r
Agreement
with
Fixed
Income
Clearing
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$2,595,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
2.750%
and
maturity
date
7/31/27,
valued
at
$2,646,948.
Short-Term
Bond
Fund
June
30,
2023
Portfolio
of
Investments
296
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
98.4%
BANK
LOAN
OBLIGATIONS
-
2.1%
CAPITAL
GOODS
-
0
.1
%
$
673,750
i
American
Builders
&
Contractors
Supply
Co,
Inc
SOFR
12
M
+
2.000%
7
.202
%
01/15/27
$
672,541‌
103,926
i
Gardner
Denver,
Inc
SOFR
12
M
+
1.750%
6
.952
03/01/27
103,934‌
888,115
i
Ingersoll-Rand
Services
Co
SOFR
12
M
+
1.750%
6
.952
03/01/27
888,186‌
TOTAL
CAPITAL
GOODS
1,664,661‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.2
%
980,000
i
AECOM
SOFR
12
M
+
1.750%
6
.967
04/13/28
982,857‌
1,124,489
i
GFL
Environmental,
Inc
LIBOR
3
M
+
3.000%
3
.000
05/31/25
1,126,726‌
1,697,057
i
Prime
Security
Services
Borrower
LLC
LIBOR
3
M
+
2.750%
7
.608
09/23/26
1,698,694‌
860,559
i
Trans
Union
LLC
SOFR
12
M
+
2.250%
7
.467
12/01/28
859,526‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
4,667,803‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.1
%
2,977,500
i
Flutter
Financing
BV
SOFR
4
M
+
3.250%
8
.753
07/22/28
2,986,462‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
2,986,462‌
CONSUMER
SERVICES
-
0
.3
%
1,462,121
i
1011778
BC
ULC
LIBOR
12
M
+
1.750%
6
.943
11/19/26
1,454,196‌
1,943,891
i
Hilton
Worldwide
Finance
LLC
SOFR
12
M
+
1.750%
6
.939
06/22/26
1,944,581‌
794,328
i
KFC
Holding
Co
LIBOR
12
M
+
1.750%
6
.896
03/15/28
789,066‌
1,430,000
i
Wyndham
Hotels
&
Resorts,
Inc
CME
Term
SOFR
1
Month
+
2.250%
0
.000
05/25/30
1,432,424‌
TOTAL
CONSUMER
SERVICES
5,620,267‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0
.0
%
806,182
i
US
Foods,
Inc
SOFR
12
M
+
2.750%
7
.967
11/22/28
806,783‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
806,783‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
0
.1
%
1,389,098
i
IQVIA,
Inc
LIBOR
12
M
+
1.750%
7
.288
01/17/25
1,390,473‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
1,390,473‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.1
%
2,103,158
i
Energizer
Holdings,
Inc
SOFR
12
M
+
2.250%
7
.442
12/22/27
2,095,282‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
2,095,282‌
MATERIALS
-
0
.1
%
1,713,570
i
Berry
Global,
Inc
LIBOR
12
M
+
1.750%
6
.972
07/01/26
1,713,587‌
TOTAL
MATERIALS
1,713,587‌
MEDIA
&
ENTERTAINMENT
-
0
.2
%
1,353,926
i
CSC
Holdings
LLC
LIBOR
12
M
+
2.250%
7
.443
07/17/25
1,307,669‌
1,071,722
i
Nascar
Holdings,
Inc
SOFR
12
M
+
2.500%
7
.717
10/19/26
1,074,487‌
1,290,299
i
Outfront
Media
Capital
LLC
SOFR
12
M
+
1.750%
6
.852
11/18/26
1,273,499‌
TOTAL
MEDIA
&
ENTERTAINMENT
3,655,655‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
0
.4
%
1,204,468
i
Avantor,
Inc
SOFR
12
M
+
2.250%
7
.452
11/08/27
1,205,473‌
1,000,000
i
Horizon
Therapeutics
USA,
Inc
SOFR
12
M
+
2.000%
7
.204
05/22/26
999,820‌
2,224,750
i
Jazz
Financing
Lux
Sarl
SOFR
12
M
+
3.500%
8
.864
05/05/28
2,224,150‌
2,197,494
i
Organon
&
Co
LIBOR
12
M
+
3.000%
8
.250
06/02/28
2,199,900‌
1,000,000
h,i
Prestige
Brands,
Inc
LIBOR
3
M
+
2.000%
6
.384
01/26/24
1,002,235‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
7,631,578‌
297
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
SOFTWARE
&
SERVICES
-
0
.3
%
$
1,773,198
i
NortonLifeLock,
Inc
SOFR
12
M
+
2.000%
7
.202
%
09/12/29
$
1,766,557‌
1,838,346
i
Open
Text
Corp
SOFR
12
M
+
1.750%
6
.952
05/30/25
1,841,159‌
356,017
i
SS&C
Technologies,
Inc
SOFR
12
M
+
1.750%
6
.967
04/16/25
356,192‌
398,620
i
SS&C
Technologies,
Inc
SOFR
12
M
+
1.750%
6
.967
04/16/25
398,815‌
576,802
i
SS&C
Technologies,
Inc
CME
Term
SOFR
12
Month
+
2.250%
7
.452
03/22/29
575,842‌
382,700
i
SS&C
Technologies,
Inc
SOFR
12
M
+
2.250%
7
.452
03/22/29
382,062‌
TOTAL
SOFTWARE
&
SERVICES
5,320,627‌
TRANSPORTATION
-
0
.1
%
1,781,215
i
Avis
Budget
Car
Rental
LLC
SOFR
12
M
+
1.750%
6
.967
08/06/27
1,762,289‌
1,481,250
i
Avis
Budget
Car
Rental
LLC
CME
Term
SOFR
12
Month
+
3.500%
8
.702
03/16/29
1,486,494‌
TOTAL
TRANSPORTATION
3,248,783‌
UTILITIES
-
0
.1
%
1,488,665
i
Core
&
Main
LP
SOFR
2M
+
2.500%
7
.691
07/27/28
1,484,482‌
TOTAL
UTILITIES
1,484,482‌
TOTAL
BANK
LOAN
OBLIGATIONS
42,286,443‌
(Cost
$42,122,457)
CORPORATE
BONDS
-
33
.8
%
AUTOMOBILES
&
COMPONENTS
-
1
.9
%
2,725,000
g
Denso
Corp
1
.239
09/16/26
2,395,721‌
5,000,000
Ford
Motor
Credit
Co
LLC
7
.350
11/04/27
5,105,600‌
5,000,000
Ford
Motor
Credit
Co
LLC
2
.900
02/16/28
4,281,985‌
5,000,000
General
Motors
Financial
Co,
Inc
1
.700
08/18/23
4,974,052‌
4,000,000
General
Motors
Financial
Co,
Inc
1
.200
10/15/24
3,762,684‌
11,000,000
General
Motors
Financial
Co,
Inc
5
.400
04/06/26
10,874,126‌
850,000
General
Motors
Financial
Co,
Inc
6
.000
01/09/28
856,812‌
2,250,000
g
Hyundai
Capital
Services,
Inc
2
.125
04/24/25
2,107,291‌
2,150,000
g
Kia
Corp
1
.000
04/16/24
2,068,994‌
1,335,000
g
Kia
Corp
2
.375
02/14/25
1,265,308‌
TOTAL
AUTOMOBILES
&
COMPONENTS
37,692,573‌
BANKS
-
9
.7
%
2,100,000
g
Banco
de
Credito
del
Peru
2
.700
01/11/25
2,006,379‌
3,650,000
g
Banco
del
Estado
de
Chile
2
.704
01/09/25
3,486,321‌
2,855,000
g
Banco
do
Brasil
S.A.
3
.250
09/30/26
2,633,205‌
2,000,000
g
Banco
Santander
Chile
2
.700
01/10/25
1,912,495‌
2,000,000
g
Banco
Santander
Mexico
S.A.
Institucion
de
Banca
Multiple
Grupo
Financiero
Santand
5
.375
04/17/25
1,978,630‌
5,000,000
Banco
Santander
S.A.
3
.496
03/24/25
4,786,951‌
5,125,000
Bancolombia
S.A.
3
.000
01/29/25
4,868,614‌
4,000,000
g
Bank
Leumi
Le-Israel
BM
5
.125
07/27/27
3,962,160‌
5,000,000
Bank
of
America
Corp
0
.976
04/22/25
4,793,587‌
8,000,000
Bank
of
America
Corp
0
.981
09/25/25
7,516,161‌
20,000,000
Bank
of
America
Corp
3
.384
04/02/26
19,170,099‌
5,000,000
Bank
of
America
Corp
5
.080
01/20/27
4,923,290‌
500,000
Citigroup,
Inc
0
.776
10/30/24
491,171‌
23,600,000
Citigroup,
Inc
0
.981
05/01/25
22,582,516‌
2,500,000
Citigroup,
Inc
1
.281
11/03/25
2,341,931‌
15,000,000
Citigroup,
Inc
5
.610
09/29/26
14,979,604‌
5,000,000
Cooperatieve
Rabobank
UA
0
.375
01/12/24
4,858,022‌
1,775,000
g
Development
Bank
of
Kazakhstan
JSC
5
.750
05/12/25
1,786,999‌
1,250,000
HSBC
USA,
Inc
3
.500
06/23/24
1,220,787‌
5,000,000
JPMorgan
Chase
&
Co
4
.023
12/05/24
4,956,796‌
725,000
JPMorgan
Chase
&
Co
0
.563
02/16/25
699,771‌
Short-Term
Bond
Fund
June
30,
2023
298
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
20,000,000
JPMorgan
Chase
&
Co
0
.824
%
06/01/25
$
19,012,736‌
14,000,000
JPMorgan
Chase
&
Co
4
.080
04/26/26
13,604,705‌
5,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
0
.848
09/15/24
4,944,444‌
5,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
5
.063
09/12/25
4,939,477‌
2,875,000
National
Bank
of
Canada
0
.550
11/15/24
2,814,901‌
1,250,000
Natwest
Group
plc
1
.642
06/14/27
1,100,050‌
5,000,000
g
Skandinaviska
Enskilda
Banken
AB
0
.550
09/01/23
4,950,700‌
5,000,000
Sumitomo
Mitsui
Financial
Group,
Inc
0
.508
01/12/24
4,861,049‌
5,000,000
Toronto-Dominion
Bank
0
.450
09/11/23
4,950,590‌
3,000,000
Toronto-Dominion
Bank
3
.766
06/06/25
2,908,562‌
1,680,000
e
Truist
Financial
Corp
3
.750
12/06/23
1,663,736‌
5,000,000
g
UBS
AG.
0
.450
02/09/24
4,832,259‌
2,000,000
g
United
Overseas
Bank
Ltd
3
.059
04/07/25
1,926,979‌
4,000,000
g
United
Overseas
Bank
Ltd
1
.250
04/14/26
3,593,117‌
TOTAL
BANKS
192,058,794‌
CAPITAL
GOODS
-
1
.7
%
2,000,000
g
BOC
Aviation
Ltd
3
.500
10/10/24
1,935,883‌
5,000,000
Boeing
Co
1
.433
02/04/24
4,867,038‌
10,000,000
Boeing
Co
2
.196
02/04/26
9,178,082‌
10,000,000
Caterpillar
Financial
Services
Corp
4
.350
05/15/26
9,844,250‌
2,500,000
g
DAE
Funding
LLC
2
.625
03/20/25
2,346,310‌
272,000
Raytheon
Technologies
Corp
3
.650
08/16/23
271,318‌
1,850,000
Raytheon
Technologies
Corp
5
.000
02/27/26
1,847,566‌
3,000,000
g
TSMC
Global
Ltd
0
.750
09/28/25
2,699,932‌
TOTAL
CAPITAL
GOODS
32,990,379‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.2
%
1,150,000
Genuine
Parts
Co
1
.750
02/01/25
1,077,098‌
3,000,000
g
Prosus
NV
3
.257
01/19/27
2,711,353‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
3,788,451‌
CONSUMER
DURABLES
&
APPAREL
-
0
.1
%
1,455,000
Lennar
Corp
4
.875
12/15/23
1,448,885‌
480,000
e
Newell
Brands,
Inc
6
.375
09/15/27
459,652‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
1,908,537‌
CONSUMER
SERVICES
-
0
.2
%
1,475,000
Hyatt
Hotels
Corp
1
.300
10/01/23
1,461,472‌
2,000,000
g
Transnet
SOC
Ltd
8
.250
02/06/28
1,942,500‌
TOTAL
CONSUMER
SERVICES
3,403,972‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0
.2
%
3,900,000
Walmart,
Inc
1
.050
09/17/26
3,482,029‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
3,482,029‌
ENERGY
-
2
.6
%
3,000,000
Canadian
Natural
Resources
Ltd
2
.050
07/15/25
2,794,524‌
5,000,000
Enbridge,
Inc
0
.550
10/04/23
4,935,966‌
4,775,000
Enbridge,
Inc
2
.500
02/14/25
4,535,173‌
2,230,000
g
Energean
Israel
Finance
Ltd
4
.500
03/30/24
2,203,240‌
5,000,000
Energy
Transfer
Operating
LP
4
.500
04/15/24
4,942,527‌
3,000,000
Energy
Transfer
Operating
LP
2
.900
05/15/25
2,842,442‌
3,500,000
Enterprise
Products
Operating
LLC
5
.050
01/10/26
3,493,604‌
4,000,000
Marathon
Petroleum
Corp
4
.700
05/01/25
3,924,535‌
278,000
Petroleos
Mexicanos
2
.378
04/15/25
268,306‌
1,000,000
Petroleos
Mexicanos
4
.500
01/23/26
893,978‌
1,350,000
Phillips
66
0
.900
02/15/24
1,309,887‌
5,000,000
g
Saudi
Arabian
Oil
Co
2
.875
04/16/24
4,876,360‌
5,000,000
TransCanada
PipeLines
Ltd
1
.000
10/12/24
4,697,486‌
299
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
10,000,000
Williams
Cos,
Inc
5
.400
%
03/02/26
$
9,973,862‌
TOTAL
ENERGY
51,691,890‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
1
.4
%
2,000,000
American
Tower
Corp
3
.375
05/15/24
1,957,986‌
1,450,000
AvalonBay
Communities,
Inc
3
.500
11/15/24
1,405,247‌
2,600,000
Boston
Properties
LP
3
.125
09/01/23
2,584,238‌
1,044,000
Brandywine
Operating
Partnership
LP
4
.100
10/01/24
1,001,764‌
5,000,000
Essex
Portfolio
LP
3
.875
05/01/24
4,908,623‌
410,000
Federal
Realty
Investment
Trust
3
.950
01/15/24
405,323‌
1,665,000
g
SBA
Tower
Trust
2
.836
01/15/25
1,580,941‌
13,365,000
g
SBA
Tower
Trust
1
.884
01/15/26
12,005,187‌
2,500,000
g
SBA
Tower
Trust
1
.631
11/15/26
2,156,383‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
28,005,692‌
FINANCIAL
SERVICES
-
6
.4
%
7,000,000
AerCap
Ireland
Capital
DAC
3
.150
02/15/24
6,866,852‌
15,000,000
AerCap
Ireland
Capital
DAC
1
.650
10/29/24
14,095,641‌
2,000,000
g
AIG
Global
Funding
0
.800
07/07/23
1,999,461‌
5,500,000
American
Express
Co
3
.375
05/03/24
5,392,662‌
3,000,000
American
Honda
Finance
Corp
0
.875
07/07/23
2,999,130‌
4,700,000
e,g
Banco
BTG
Pactual
S.A.
2
.750
01/11/26
4,277,490‌
7,000,000
Capital
One
Financial
Corp
4
.166
05/09/25
6,818,844‌
5,000,000
Credit
Suisse
AG.
0
.495
02/02/24
4,809,847‌
2,950,000
Deutsche
Bank
AG.
0
.898
05/28/24
2,802,970‌
10,000,000
g
Federation
des
Caisses
Desjardins
du
Quebec
0
.700
05/21/24
9,549,259‌
7,200,000
g
Federation
des
Caisses
Desjardins
du
Quebec
5
.700
03/14/28
7,191,514‌
5,000,000
Fidelity
National
Information
Services,
Inc
0
.600
03/01/24
4,825,168‌
5,000,000
Ford
Motor
Credit
Co
LLC
4
.950
05/28/27
4,716,435‌
5,000,000
Goldman
Sachs
Group,
Inc
0
.657
09/10/24
4,943,776‌
14,450,000
Goldman
Sachs
Group,
Inc
5
.700
11/01/24
14,425,763‌
4,000,000
Morgan
Stanley
3
.620
04/17/25
3,920,513‌
5,000,000
Morgan
Stanley
0
.790
05/30/25
4,749,677‌
5,000,000
Morgan
Stanley
1
.164
10/21/25
4,673,130‌
4,000,000
Morgan
Stanley
4
.679
07/17/26
3,925,151‌
2,775,000
Morgan
Stanley
1
.512
07/20/27
2,458,561‌
2,000,000
g
Private
Export
Funding
Corp
(PEFCO)
0
.550
07/30/24
1,889,043‌
4,500,000
Toyota
Motor
Credit
Corp
0
.500
08/14/23
4,475,494‌
4,725,000
g
UBS
Group
AG
1
.008
07/30/24
4,705,330‌
TOTAL
FINANCIAL
SERVICES
126,511,711‌
FOOD,
BEVERAGE
&
TOBACCO
-
0
.2
%
3,000,000
Constellation
Brands,
Inc
3
.600
05/09/24
2,942,167‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
2,942,167‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
1
.1
%
3,750,000
CVS
Health
Corp
4
.300
03/25/28
3,616,573‌
10,000,000
HCA,
Inc
5
.375
02/01/25
9,912,326‌
3,300,000
Humana,
Inc
0
.650
08/03/23
3,287,624‌
5,000,000
McKesson
Corp
4
.900
07/15/28
4,967,091‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
21,783,614‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.2
%
5,000,000
GSK
Consumer
Healthcare
Capital
UK
plc
3
.125
03/24/25
4,777,260‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
4,777,260‌
INSURANCE
-
0
.5
%
3,000,000
g
Principal
Life
Global
Funding
II
0
.750
04/12/24
2,879,549‌
2,500,000
e,g
Principal
Life
Global
Funding
II
0
.875
01/12/26
2,222,623‌
Short-Term
Bond
Fund
June
30,
2023
300
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
INSURANCE—continued
$
5,000,000
g
Protective
Life
Global
Funding
0
.473
%
01/12/24
$
4,858,449‌
TOTAL
INSURANCE
9,960,621‌
MATERIALS
-
1
.2
%
1,200,000
g
Freeport
Indonesia
PT
4
.763
04/14/27
1,158,197‌
1,000,000
Nutrien
Ltd
4
.900
03/27/28
980,790‌
4,725,000
g
Orbia
Advance
Corp
SAB
de
C.V.
1
.875
05/11/26
4,234,781‌
3,000,000
g
POSCO
4
.375
08/04/25
2,912,472‌
4,200,000
g
POSCO
5
.750
01/17/28
4,260,835‌
1,550,000
g
SABIC
Capital
II
BV
4
.000
10/10/23
1,538,871‌
3,000,000
Sherwin-Williams
Co
4
.050
08/08/24
2,951,345‌
2,000,000
Westlake
Chemical
Corp
0
.875
08/15/24
1,888,819‌
3,000,000
WRKCo,
Inc
3
.000
09/15/24
2,884,937‌
TOTAL
MATERIALS
22,811,047‌
MEDIA
&
ENTERTAINMENT
-
1
.6
%
2,000,000
g
CCO
Holdings
LLC
5
.125
05/01/27
1,862,490‌
10,000,000
Charter
Communications
Operating
LLC
4
.908
07/23/25
9,806,469‌
10,000,000
Comcast
Corp
5
.250
11/07/25
10,054,029‌
3,250,000
DH
Europe
Finance
II
Sarl
2
.200
11/15/24
3,112,442‌
117,000
Take-Two
Interactive
Software,
Inc
3
.300
03/28/24
114,707‌
6,875,000
Warnermedia
Holdings,
Inc
3
.638
03/15/25
6,631,102‌
TOTAL
MEDIA
&
ENTERTAINMENT
31,581,239‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
0
.9
%
4,450,000
AbbVie,
Inc
3
.800
03/15/25
4,326,377‌
3,100,000
Amgen,
Inc
5
.150
03/02/28
3,097,209‌
5,000,000
Pfizer
Investment
Enterprises
Pte
Ltd
4
.450
05/19/28
4,914,456‌
1,668,000
Takeda
Pharmaceutical
Co
Ltd
4
.400
11/26/23
1,658,644‌
1,045,000
Teva
Pharmaceutical
Finance
Netherlands
III
BV
4
.750
05/09/27
966,701‌
3,000,000
Zoetis,
Inc
5
.400
11/14/25
3,009,181‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
17,972,568‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.6
%
5,000,000
NVIDIA
Corp
0
.584
06/14/24
4,776,493‌
3,000,000
g
SK
Hynix,
Inc
1
.500
01/19/26
2,658,179‌
3,000,000
g
SK
Hynix,
Inc
6
.375
01/17/28
3,012,559‌
1,075,000
TSMC
Arizona
Corp
1
.750
10/25/26
964,164‌
1,325,000
TSMC
Arizona
Corp
3
.875
04/22/27
1,275,579‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
12,686,974‌
SOFTWARE
&
SERVICES
-
0
.4
%
5,000,000
Adobe,
Inc
1
.900
02/01/25
4,751,336‌
925,000
g
NortonLifeLock,
Inc
6
.750
09/30/27
922,396‌
3,100,000
Oracle
Corp
5
.800
11/10/25
3,134,524‌
TOTAL
SOFTWARE
&
SERVICES
8,808,256‌
TELECOMMUNICATION
SERVICES
-
0
.9
%
5,500,000
AT&T,
Inc
1
.700
03/25/26
5,013,204‌
2,400,000
g
KT
Corp
4
.000
08/08/25
2,327,148‌
4,800,000
T-Mobile
USA,
Inc
3
.750
04/15/27
4,543,707‌
5,500,000
Verizon
Communications,
Inc
2
.100
03/22/28
4,831,600‌
TOTAL
TELECOMMUNICATION
SERVICES
16,715,659‌
TRANSPORTATION
-
0
.5
%
5,000,000
Canadian
Pacific
Railway
Co
1
.350
12/02/24
4,697,849‌
3,000,000
g
Grupo
Aeromexico
SAB
de
C.V.
8
.500
03/17/27
2,684,759‌
3,400,000
g
Misc
Capital
Two
Labuan
Ltd
3
.625
04/06/25
3,268,090‌
TOTAL
TRANSPORTATION
10,650,698‌
301
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES
-
1
.3
%
$
3,000,000
Dominion
Energy,
Inc
3
.300
%
03/15/25
$
2,872,173‌
5,000,000
Florida
Power
&
Light
Co
4
.400
05/15/28
4,906,060‌
1,875,000
g
Korea
East-West
Power
Co
Ltd
3
.600
05/06/25
1,803,292‌
1,575,000
NextEra
Energy
Capital
Holdings,
Inc
4
.900
02/28/28
1,559,401‌
3,000,000
g
Tengizchevroil
Finance
Co
International
Ltd
2
.625
08/15/25
2,726,400‌
2,020,000
WEC
Energy
Group,
Inc
0
.550
09/15/23
1,999,645‌
10,000,000
WEC
Energy
Group,
Inc
4
.750
01/09/26
9,848,737‌
TOTAL
UTILITIES
25,715,708‌
TOTAL
CORPORATE
BONDS
667,939,839‌
(Cost
$689,249,573)
GOVERNMENT
BONDS
-
38
.8
%
AGENCY
SECURITIES
-
1
.8
%
20,036,250
Federal
Home
Loan
Bank
(FHLB)
1
.000
03/23/26
18,117,079‌
1,755,000
Montefiore
Medical
Center
2
.152
10/20/26
1,583,806‌
5,900,000
Private
Export
Funding
Corp
(PEFCO)
1
.750
11/15/24
5,621,890‌
3,157,895
Reliance
Industries
Ltd
1
.870
01/15/26
2,998,620‌
3,000,000
Reliance
Industries
Ltd
2
.060
01/15/26
2,855,479‌
3,947,368
Reliance
Industries
Ltd
2
.444
01/15/26
3,775,265‌
TOTAL
AGENCY
SECURITIES
34,952,139‌
FOREIGN
GOVERNMENT
BONDS
-
5
.5
%
925,000
g
African
Export-Import
Bank
2
.634
05/17/26
831,825‌
5,000,000
g
BNG
Bank
NV
3
.500
08/26/24
4,885,749‌
3,000,000
g
BNG
Bank
NV
0
.875
05/18/26
2,689,170‌
2,500,000
Brazilian
Government
International
Bond
2
.875
06/06/25
2,378,152‌
5,000,000
g
Caisse
d'Amortissement
de
la
Dette
Sociale
0
.375
09/23/25
4,528,126‌
6,250,000
g
Central
American
Bank
for
Economic
Integration
5
.000
02/09/26
6,178,726‌
2,500,000
g
Development
Bank
of
Japan,
Inc
0
.500
03/04/24
2,415,299‌
1,500,000
g
Egypt
Government
International
Bond
4
.550
11/20/23
1,461,180‌
500,000
g
Honduras
Government
International
Bond
7
.500
03/15/24
495,070‌
1,000,000
g
Hungary
Government
International
Bond
6
.125
05/22/28
1,014,148‌
6,650,000
g
Japan
Finance
Organization
for
Municipalities
3
.375
09/27/23
6,614,555‌
1,560,000
g
Kommunalbanken
AS.
2
.750
02/05/24
1,534,060‌
10,000,000
g
Kommunalbanken
AS.
0
.375
09/11/25
9,065,627‌
3,000,000
g
Korea
Electric
Power
Corp
3
.625
06/14/25
2,888,727‌
2,800,000
g
Korea
Hydro
&
Nuclear
Power
Co
Ltd
1
.250
04/27/26
2,484,975‌
12,000,000
i
Kreditanstalt
fuer
Wiederaufbau
SOFR
Compounded
Index
+
1.000%
6
.090
02/12/24
12,063,623‌
300,000
g
Magyar
Export-Import
Bank
Zrt
6
.125
12/04/27
297,001‌
4,350,000
Mexico
Government
International
Bond
3
.750
01/11/28
4,136,286‌
3,000,000
g
Morocco
Government
International
Bond
2
.375
12/15/27
2,617,860‌
1,130,000
g
Morocco
Government
International
Bond
5
.950
03/08/28
1,138,543‌
3,575,000
g
OPEC
Fund
for
International
Development
4
.500
01/26/26
3,508,952‌
3,400,000
g
Perusahaan
Penerbit
SBSN
Indonesia
III
3
.900
08/20/24
3,353,250‌
4,250,000
Peruvian
Government
International
Bond
4
.125
08/25/27
4,128,577‌
900,000
Philippine
Government
International
Bond
2
.457
05/05/30
777,788‌
3,000,000
g
Qatar
Government
International
Bond
3
.375
03/14/24
2,954,220‌
4,000,000
g
Qatar
Government
International
Bond
4
.000
03/14/29
3,909,600‌
6,800,000
Republic
of
Italy
Government
International
Bond
2
.375
10/17/24
6,491,416‌
2,000,000
g
Republic
of
Uzbekistan
International
Bond
4
.750
02/20/24
1,977,600‌
1,000,000
g
Romanian
Government
International
Bond
6
.625
02/17/28
1,027,660‌
5,200,000
g
Saudi
Government
International
Bond
3
.250
10/26/26
4,926,376‌
1,540,000
Svensk
Exportkredit
AB
1
.750
12/12/23
1,515,018‌
5,000,000
Svensk
Exportkredit
AB
0
.500
08/26/25
4,546,422‌
TOTAL
FOREIGN
GOVERNMENT
BONDS
108,835,581‌
MORTGAGE
BACKED
-
2
.9
%
5,749,022
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
2.250%
7
.317
08/25/33
5,754,044‌
3,590,638
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
1.000%
6
.067
01/25/42
3,529,889‌
6,364,334
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
2.300%
7
.367
08/25/33
6,372,141‌
Short-Term
Bond
Fund
June
30,
2023
302
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MORTGAGE
BACKED—continued
$
1,055,000
g,i
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
30
D
AVG
SOFR
+
4.000%
9
.067
%
07/25/42
$
1,088,050‌
6,765,479
Government
National
Mortgage
Association
(GNMA)
2
.000
05/15/31
5,972,874‌
17,423,912
GNMA
1
.730
07/15/37
14,721,076‌
20,360,118
GNMA
4
.250
09/15/38
20,182,414‌
TOTAL
MORTGAGE
BACKED
57,620,488‌
MUNICIPAL
BONDS
-
0
.6
%
11,755,000
City
of
New
York
NY
2
.280
08/01/25
11,064,501‌
TOTAL
MUNICIPAL
BONDS
11,064,501‌
U.S.
TREASURY
SECURITIES
-
28
.0
%
36,072,780
k
United
States
Treasury
Inflation
Indexed
Bonds
0
.625
01/15/24
35,461,234‌
55,000,000
United
States
Treasury
Note
1
.750
03/15/25
52,026,562‌
136,922,000
United
States
Treasury
Note
3
.875
03/31/25
134,231,696‌
21,185,000
United
States
Treasury
Note
3
.875
04/30/25
20,772,886‌
9,534,000
United
States
Treasury
Note
4
.250
05/31/25
9,414,080‌
9,150,000
United
States
Treasury
Note
4
.625
06/30/25
9,108,182‌
70,000,000
United
States
Treasury
Note
3
.000
09/30/25
67,372,266‌
80,000,000
United
States
Treasury
Note
3
.000
10/31/25
76,943,750‌
20,000,000
United
States
Treasury
Note
2
.875
11/30/25
19,168,750‌
33,091,000
United
States
Treasury
Note
3
.625
05/15/26
32,284,407‌
35,000,000
United
States
Treasury
Note
1
.500
08/15/26
31,990,820‌
29,000,000
United
States
Treasury
Note
0
.500
06/30/27
25,003,438‌
15,686,000
United
States
Treasury
Note
3
.625
03/31/28
15,320,810‌
7,393,000
United
States
Treasury
Note
3
.625
05/31/28
7,231,278‌
7,320,000
United
States
Treasury
Note
4
.000
06/30/28
7,279,969‌
10,000,000
United
States
Treasury
Note
3
.625
03/31/30
9,782,031‌
TOTAL
U.S.
TREASURY
SECURITIES
553,392,159‌
TOTAL
GOVERNMENT
BONDS
765,864,868‌
(Cost
$787,780,490)
STRUCTURED
ASSETS
-
23
.7
%
ASSET
BACKED
-
7
.9
%
69,311
Aames
Mortgage
Trust
(Step
Bond)
7
.396
06/25/32
66,474‌
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)
889,305
i
Asset
Backed
Securities
Corp
Home
Equity
Loan
Trust
LIBOR
1
M
+
1.650%
6
.843
03/15/32
880,250‌
Series
-
2002
HE1
(Class
M1)
4,214,000
i
Bayview
Financial
Mortgage
Pass-Through
Trust
LIBOR
1
M
+
1.125%
6
.303
02/28/41
4,180,606‌
Series
-
2006
A
(Class
M4)
1,924,149
g
Capital
Automotive
REIT
1
.440
08/15/51
1,661,699‌
Series
-
2021
1A
(Class
A1)
2,109,272
g
Capital
Automotive
REIT
1
.920
08/15/51
1,805,708‌
Series
-
2021
1A
(Class
A3)
8,600,000
CarMax
Auto
Owner
Trust
0
.740
10/15/26
7,845,010‌
Series
-
2021
1
(Class
B)
7,000,000
CarMax
Auto
Owner
Trust
1
.000
03/15/27
6,297,278‌
Series
-
2021
3
(Class
B)
1,072
Centex
Home
Equity
5
.540
01/25/32
1,033‌
Series
-
2002
A
(Class
AF6)
44,416
i
Centex
Home
Equity
LIBOR
1
M
+
0.645%
5
.795
03/25/34
42,575‌
Series
-
2004
B
(Class
M1)
9,579,164
g
CF
Hippolyta
LLC
1
.690
07/15/60
8,596,253‌
Series
-
2020
1
(Class
A1)
122,341
i
Chase
Funding
Mortgage
Loan
Asset-Backed
Certificates
5
.700
02/26/35
116,568‌
Series
-
2004
2
(Class
1M2)
2,540,000
CNH
Equipment
Trust
0
.900
01/16/29
2,285,502‌
Series
-
2021
B
(Class
B)
303
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ASSET
BACKED—continued
$
6,698,000
g
DB
Master
Finance
LLC
2
.045
%
11/20/51
$
5,828,961‌
Series
-
2021
1A
(Class
A2I)
10,780,000
g
Domino's
Pizza
Master
Issuer
LLC
2
.662
04/25/51
9,138,389‌
Series
-
2021
1A
(Class
A2I)
1,343,419
g
FCI
Funding
LLC
1
.130
04/15/33
1,283,278‌
Series
-
2021
1A
(Class
A)
2,108,440
g
FNA
VI
LLC
1
.350
01/10/32
1,905,323‌
Series
-
2021
1A
(Class
A)
4,500,000
Ford
Credit
Auto
Owner
Trust
0
.700
10/15/26
4,134,758‌
Series
-
2021
A
(Class
B)
1,500,000
g
Ford
Credit
Auto
Owner
Trust
1
.610
10/17/33
1,333,851‌
Series
-
2021
1
(Class
B)
3,350,000
GM
Financial
Consumer
Automobile
Receivables
Trust
0
.750
05/17/27
3,113,396‌
Series
-
2021
1
(Class
B)
6,100,000
g,i
MSCG
Trust
3
.577
06/07/35
5,261,183‌
Series
-
2015
ALDR
(Class
C)
2,493,759
g
Navient
Private
Education
Refi
Loan
Trust
0
.840
05/15/69
2,163,127‌
Series
-
2021
A
(Class
A)
2,445,642
g
Oportun
Funding
XIV
LLC
1
.210
03/08/28
2,330,308‌
Series
-
2021
A
(Class
A)
2,000,000
g
Oportun
Issuance
Trust
1
.960
05/08/31
1,788,364‌
Series
-
2021
B
(Class
B)
775,307
i
Park
Place
Securities,
Inc
LIBOR
1
M
+
1.245%
6
.395
01/25/36
758,978‌
Series
-
2005
WCH1
(Class
M4)
5,000,000
g
PFS
Financing
Corp
1
.570
10/15/25
4,929,771‌
Series
-
2020
E
(Class
B)
7,000,000
g
PFS
Financing
Corp
0
.710
04/15/26
6,704,748‌
Series
-
2021
A
(Class
A)
7,620,000
g,i
PNMSR
2018-GT1
A
Mtge
LIBOR
1
M
+
3.850%
9
.000
02/25/25
7,618,703‌
Series
-
2018
GT1
(Class
A)
5,050,000
g,i
PNMSR
2018-GT1
A
Mtge
LIBOR
1
M
+
2.650%
7
.800
08/25/25
4,993,941‌
Series
-
2018
GT2
(Class
A)
5,500,000
g
Santander
Consumer
Auto
Receivables
Trust
0
.710
08/17/26
5,129,987‌
Series
-
2021
AA
(Class
B)
6,444,853
SCE
Recovery
Funding
LLC
0
.861
11/15/31
5,335,430‌
Series
-
2021
A-1
(Class
A)
2,382,400
g
ServiceMaster
Funding
LLC
2
.841
10/30/51
1,973,263‌
Series
-
2020
1
(Class
A2I)
5,635,000
g
SERVPRO
Master
Issuer
LLC
2
.394
04/25/51
4,626,425‌
Series
-
2021
1A
(Class
A2)
1,487,216
g
Sierra
Timeshare
Receivables
Funding
LLC
0
.990
11/20/37
1,377,489‌
Series
-
2021
1A
(Class
A)
36,672
g
SoFi
Professional
Loan
Program
LLC
2
.630
07/25/40
36,251‌
Series
-
2017
C
(Class
A2B)
12,647,400
g
Taco
Bell
Funding
LLC
1
.946
08/25/51
10,873,223‌
Series
-
2021
1A
(Class
A2I)
5,000,000
g
Tesla
Auto
Lease
Trust
1
.020
03/20/25
4,899,736‌
Series
-
2021
A
(Class
B)
10,185,000
Verizon
Master
Trust
0
.890
05/20/27
9,694,391‌
Series
-
2021
1
(Class
C)
10,000,000
Verizon
Owner
Trust
0
.680
02/20/25
9,845,025‌
Series
-
2020
B
(Class
B)
5,693,800
g
Wendy's
Funding
LLC
2
.370
06/15/51
4,708,408‌
Series
-
2021
1A
(Class
A2I)
TOTAL
ASSET
BACKED
155,565,664‌
OTHER
MORTGAGE
BACKED
-
15
.8
%
1,799,805
g,i
ACRE
Commercial
Mortgage
Ltd
SOFR
1
M
+
0.944%
6
.035
12/18/37
1,777,556‌
Series
-
2021
FL4
(Class
A)
5,242,000
g,i
Angel
Oak
Mortgage
Trust
3
.161
12/25/59
4,466,017‌
Series
-
2020
1
(Class
M1)
Short-Term
Bond
Fund
June
30,
2023
304
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,500,000
g,i
Ashford
Hospitality
Trust
LIBOR
1
M
+
2.750%
2
.860
%
06/15/35
$
2,365,776‌
Series
-
2018
KEYS
(Class
D)
7,500,000
g,i
BAMLL
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
2.150%
7
.297
01/15/39
7,219,445‌
Series
-
2022
DKLX
(Class
C)
4,119,000
g,i
BBCMS
Trust
LIBOR
1
M
+
1.000%
6
.193
07/15/37
4,032,243‌
Series
-
2018
CBM
(Class
A)
3,259
i
Bear
Stearns
ALT-A
Trust
LIBOR
1
M
+
0.600%
5
.750
06/25/34
3,412‌
Series
-
2004
4
(Class
A1)
847,651
g,i
BHP
Trust
LIBOR
1
M
+
0.975%
6
.168
08/15/36
837,403‌
Series
-
2019
BXHP
(Class
A)
2,975,000
g,i
BX
Commercial
Mortgage
Trust
LIBOR
1
M
+
2.114%
2
.110
10/15/36
2,929,114‌
Series
-
2019
XL
(Class
F)
3,060,000
g,i
BX
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.364%
6
.511
10/15/36
3,029,190‌
Series
-
2019
XL
(Class
C)
5,108,382
g,i
BX
Commercial
Mortgage
Trust
LIBOR
1
M
+
0.870%
6
.064
06/15/38
4,954,793‌
Series
-
2021
SOAR
(Class
B)
4,633,575
g,i
BX
Commercial
Mortgage
Trust
LIBOR
1
M
+
0.998%
6
.191
10/15/38
4,497,861‌
Series
-
2021
XL2
(Class
B)
7,830,742
g,i
BX
Commercial
Mortgage
Trust
LIBOR
1
M
+
1.197%
6
.390
10/15/38
7,554,308‌
Series
-
2021
XL2
(Class
C)
1,390,073
g,i
BX
Commercial
Mortgage
Trust
LIBOR
1
M
+
1.846%
7
.039
10/15/38
1,333,026‌
Series
-
2021
XL2
(Class
E)
1,000,000
g,i
BX
Commercial
Mortgage
Trust
SOFR
1
M
+
1.840%
6
.987
01/17/39
979,789‌
Series
-
2022
AHP
(Class
B)
1,392,585
g,i
BX
TRUST
CME
Term
SOFR
1
Month
+
1.562%
6
.709
02/15/39
1,321,530‌
Series
-
2022
LP2
(Class
C)
3,373,619
g,i
Chase
Mortgage
Trust
3
.750
12/25/45
2,938,769‌
Series
-
2016
SH2
(Class
M2)
16,310
Citicorp
Mortgage
Securities
Trust
5
.500
02/25/26
15,786‌
Series
-
2006
1
(Class
5A1)
990,000
Citigroup
Commercial
Mortgage
Trust
3
.863
07/10/47
947,642‌
Series
-
2014
GC23
(Class
AS)
3,000,000
g
COMM
Mortgage
Trust
3
.376
01/10/39
2,369,419‌
Series
-
2022
HC
(Class
C)
1,698,584
g
COMM
Mortgage
Trust
3
.397
03/10/46
1,508,980‌
Series
-
2013
CR6
(Class
B)
2,983,000
g,i
COMM
Mortgage
Trust
5
.021
08/10/46
2,708,012‌
Series
-
2013
CR10
(Class
D)
1,600,000
g,i
COMM
Mortgage
Trust
5
.021
08/10/46
1,552,344‌
Series
-
2013
CR10
(Class
C)
1,643,859
i
COMM
Mortgage
Trust
4
.729
02/10/47
1,365,848‌
Series
-
2014
CR14
(Class
C)
3,879,904
COMM
Mortgage
Trust
4
.701
03/10/47
3,761,092‌
Series
-
2014
UBS2
(Class
B)
1,422,184
i
COMM
Mortgage
Trust
4
.947
03/10/47
1,325,748‌
Series
-
2014
UBS2
(Class
C)
6,000,000
COMM
Mortgage
Trust
4
.377
05/10/47
5,415,077‌
Series
-
2014
CR17
(Class
B)
2,500,000
COMM
Mortgage
Trust
4
.012
06/10/47
2,413,090‌
Series
-
2014
UBS3
(Class
AM)
1,000,000
g,i
COMM
Mortgage
Trust
4
.697
08/10/47
856,269‌
Series
-
2014
CR19
(Class
D)
2,000,000
i
COMM
Mortgage
Trust
4
.703
08/10/47
1,890,842‌
Series
-
2014
CR19
(Class
B)
1,188,400
i
COMM
Mortgage
Trust
4
.853
08/10/47
1,089,847‌
Series
-
2014
CR19
(Class
C)
1,012,000
i
COMM
Mortgage
Trust
4
.443
05/10/48
877,434‌
Series
-
2015
CR23
(Class
C)
4,115,000
i
COMM
Mortgage
Trust
4
.471
07/10/48
3,837,229‌
Series
-
2015
LC21
(Class
B)
305
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
3,000,000
i
COMM
Mortgage
Trust
3
.463
%
08/10/48
$
2,386,443‌
Series
-
2015
CR24
(Class
D)
4,170,000
i
COMM
Mortgage
Trust
4
.667
08/10/48
3,884,045‌
Series
-
2015
CR25
(Class
B)
2,500,000
i
COMM
Mortgage
Trust
4
.615
10/10/48
2,302,490‌
Series
-
2015
CR26
(Class
B)
9,362,076
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
1.550%
6
.617
10/25/41
9,180,309‌
Series
-
2021
R01
(Class
1M2)
7,821,360
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
0.850%
5
.917
12/25/41
7,759,680‌
Series
-
2021
R03
(Class
1M1)
285,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
1.900%
6
.967
12/25/41
277,981‌
Series
-
2022
R01
(Class
1M2)
4,490,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
3.100%
8
.167
03/25/42
4,539,503‌
Series
-
2022
R04
(Class
1M2)
6,120,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.650%
9
.717
06/25/42
6,478,828‌
Series
-
2022
R07
(Class
1M2)
3,795,000
g,i
Connecticut
Avenue
Securities
Trust
30
D
AVG
SOFR
+
4.750%
9
.817
09/25/42
4,003,383‌
Series
-
2022
R09
(Class
2M2)
2,523,039
g
Credit
Suisse
Commercial
Mortgage
Trust
3
.304
09/15/37
2,126,490‌
Series
-
2014
USA
(Class
A1)
4,139,701
g,i
Credit
Suisse
Mortgage
Capital
Certificates
LIBOR
1
M
+
0.980%
6
.173
05/15/36
4,120,381‌
Series
-
2019
ICE4
(Class
A)
1,400,000
g
CSMC
2
.816
08/15/37
1,242,467‌
Series
-
2020
NET
(Class
B)
2,177,897
g
CSMC
Trust
1
.414
05/25/65
1,948,015‌
Series
-
2020
NQM1
(Class
A2)
18,582
Deutsche
Mortgage
Securities,
Inc
Mortgage
Loan
Trust
(Step
Bond)
5
.940
07/25/34
18,036‌
Series
-
2004
5
(Class
A5B)
1,025,000
g,i
ELP
Commercial
Mortgage
Trust
LIBOR
1
M
+
2.118%
7
.312
11/15/38
985,667‌
Series
-
2021
ELP
(Class
E)
18,165,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
1.500%
6
.567
10/25/41
17,724,475‌
Series
-
2021
DNA6
(Class
M2)
460,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
2.900%
7
.967
04/25/42
459,816‌
Series
-
2022
DNA3
(Class
M1B)
20,000,000
g,i
Freddie
Mac
STACR
REMIC
Trust
30
D
AVG
SOFR
+
3.350%
8
.417
05/25/42
20,248,772‌
Series
-
2022
DNA4
(Class
M1B)
3,590
g
GS
Mortgage
Securities
Corp
II
3
.419
10/10/32
3,497‌
Series
-
2017
SLP
(Class
A)
2,598,000
g,i
GS
Mortgage
Securities
Corp
II
4
.688
02/10/46
2,097,385‌
Series
-
2013
GC10
(Class
D)
1,750,000
g,i
GS
Mortgage
Securities
Corp
Trust
LIBOR
1
M
+
2.750%
7
.943
11/15/36
1,666,400‌
Series
-
2021
ARDN
(Class
D)
1,873,090
g,i
GS
Mortgage
Securities
Trust
LIBOR
1
M
+
1.090%
6
.290
10/15/31
1,805,593‌
Series
-
2018
HART
(Class
A)
1,646,485
GS
Mortgage
Securities
Trust
4
.649
11/10/46
1,631,371‌
Series
-
2013
GC16
(Class
AS)
1,321,000
g,i
GS
Mortgage
Securities
Trust
3
.349
07/10/52
1,279,627‌
Series
-
2019
GC40
(Class
DBA)
9,000,000
g,i
GS
Mortgage
Securities
Trust
3
.501
07/10/52
8,716,486‌
Series
-
2019
GC40
(Class
DBB)
5,000,000
g,i
GS
Mortgage
Securities
Trust
3
.668
07/10/52
4,842,842‌
Series
-
2019
GC40
(Class
DBC)
3,059,184
g,i
GS
Mortgage-Backed
Securities
Corp
Trust
3
.000
03/27/51
2,547,014‌
Series
-
2020
PJ5
(Class
A4)
297,518
IMC
Home
Equity
Loan
Trust
(Step
Bond)
5
.432
08/20/29
275,744‌
Series
-
1998
3
(Class
A7)
56,616
i
Impac
CMB
Trust
LIBOR
1
M
+
0.660%
5
.810
03/25/35
52,872‌
Series
-
2004
11
(Class
2A1)
4,724,484
g,i
JP
Morgan
Chase
Commercial
Mortgage
Securities
Corp
CME
Term
SOFR
1
Month
+
0.914%
6
.061
04/15/38
4,652,334‌
Series
-
2021
MHC
(Class
A)
Short-Term
Bond
Fund
June
30,
2023
306
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
264,260
i
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
4
.230
%
01/15/46
$
253,049‌
Series
-
2013
C13
(Class
C)
1,225,512
g,i
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
5
.013
02/15/46
1,187,229‌
Series
-
2011
C3
(Class
B)
2,300,000
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2
.870
08/15/49
2,076,830‌
Series
-
2016
JP3
(Class
A5)
58,973
g,i
JP
Morgan
Mortgage
Trust
LIBOR
1
M
+
0.950%
6
.088
10/25/49
57,026‌
Series
-
2019
INV1
(Class
A11)
131,122
JPMBB
Commercial
Mortgage
Securities
Trust
3
.657
09/15/47
128,588‌
Series
-
2014
C23
(Class
ASB)
4,700,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.629
09/15/47
4,427,300‌
Series
-
2014
C23
(Class
B)
1,570,000
JPMBB
Commercial
Mortgage
Securities
Trust
4
.106
08/15/48
1,463,032‌
Series
-
2015
C31
(Class
AS)
5,000,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.776
08/15/48
3,901,912‌
Series
-
2015
C31
(Class
C)
1,200,000
i
JPMBB
Commercial
Mortgage
Securities
Trust
4
.776
08/15/48
988,429‌
Series
-
2015
C31
(Class
B)
2,000,000
i
JPMCC
Commercial
Mortgage
Securities
Trust
3
.905
03/15/50
1,504,320‌
Series
-
2017
JP5
(Class
C)
4,000,000
g,i
MHC
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
0.915%
6
.062
04/15/38
3,930,466‌
Series
-
2021
MHC
(Class
A)
5,000,000
g,i
MHC
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.215%
6
.362
04/15/38
4,894,385‌
Series
-
2021
MHC
(Class
B)
1,793,881
g
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
3
.989
12/15/46
1,629,317‌
Series
-
2014
C19
(Class
LNC1)
6,770,000
i
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
5
.037
02/15/47
6,635,346‌
Series
-
2014
C14
(Class
B)
5,000,000
i
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
4
.000
12/15/47
4,637,430‌
Series
-
2014
C19
(Class
B)
2,242,584
g,i
Morgan
Stanley
Capital
I
Inc
LIBOR
1
M
+
1.377%
6
.571
11/15/23
2,165,112‌
Series
-
2021
ILP
(Class
C)
2,500,000
g
MRCD
Mortgage
Trust
2
.718
12/15/36
2,151,113‌
Series
-
2019
PARK
(Class
E)
2,500,000
g
MRCD
Mortgage
Trust
2
.718
12/15/36
2,204,387‌
Series
-
2019
PARK
(Class
D)
7,530,000
g,i
MTN
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.896%
7
.043
03/15/39
7,372,803‌
Series
-
2022
LPFL
(Class
B)
9,500,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
1.579%
5
.915
07/15/36
8,947,547‌
Series
-
2019
MILE
(Class
A)
7,500,000
g,i
Natixis
Commercial
Mortgage
Securities
Trust
SOFR
1
M
+
2.279%
7
.426
07/15/36
6,753,988‌
Series
-
2019
MILE
(Class
C)
351,744
g
Natixis
Commercial
Mortgage
Securities
Trust
2
.966
12/15/38
326,508‌
Series
-
2020
2PAC
(Class
A)
302,020
g,i
New
Residential
Mortgage
Loan
Trust
3
.750
11/25/54
273,761‌
Series
-
2014
3A
(Class
AFX3)
488,912
g,i
New
Residential
Mortgage
Loan
Trust
3
.750
03/25/56
450,488‌
Series
-
2016
1A
(Class
A1)
844,567
g,i
New
Residential
Mortgage
Loan
Trust
4
.000
12/25/57
795,993‌
Series
-
2018
1A
(Class
A1A)
720,806
g,i
OBX
Trust
LIBOR
1
M
+
0.650%
5
.800
06/25/57
683,719‌
Series
-
2018
1
(Class
A2)
3,329,213
g,i
OPG
Trust
LIBOR
1
M
+
0.713%
0
.803
10/15/36
3,202,465‌
Series
-
2021
PORT
(Class
B)
2,000,000
g,i
PKHL
Commercial
Mortgage
Trust
LIBOR
1
M
+
2.000%
7
.194
07/15/38
1,809,208‌
Series
-
2021
MF
(Class
D)
307
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
OTHER
MORTGAGE
BACKED—continued
$
2,000,000
g
RBS
Commercial
Funding,
Inc
Trust
3
.511
%
03/11/31
$
1,696,272‌
Series
-
2013
SMV
(Class
B)
7,886,000
g,i
RLGH
Trust
LIBOR
1
M
+
1.165%
6
.359
04/15/36
7,608,421‌
Series
-
2021
TROT
(Class
B)
3,710,899
g,i
SMR
Mortgage
Trust
SOFR
1
M
+
2.400%
7
.547
02/15/39
3,542,882‌
Series
-
2022
IND
(Class
B)
2,000,000
g,i
SREIT
Trust
LIBOR
1
M
+
1.171%
6
.364
11/15/36
1,945,380‌
Series
-
2021
MFP2
(Class
B)
549,810
i
Structured
Adjustable
Rate
Mortgage
Loan
Trust
LIBOR
1
M
+
0.370%
5
.520
07/25/34
542,569‌
Series
-
2004
9XS
(Class
A)
3,061,759
g
Verus
Securitization
Trust
2
.417
01/25/60
2,873,245‌
Series
-
2020
1
(Class
A1)
2,885,287
g
Verus
Securitization
Trust
2
.724
01/25/60
2,698,306‌
Series
-
2020
1
(Class
A3)
1,395,433
g
Verus
Securitization
Trust
2
.321
05/25/65
1,291,234‌
Series
-
2020
4
(Class
A3)
7,754,399
g,i
Verus
Securitization
Trust
2
.240
10/25/66
6,329,763‌
Series
-
2021
7
(Class
A3)
298,232
i
WFRBS
3
.910
05/15/45
298,202‌
Series
-
2013
C13
(Class
C)
3,000,000
i
WFRBS
Commercial
Mortgage
Trust
4
.141
03/15/45
2,437,069‌
Series
-
2013
C11
(Class
C)
181,230
i
WFRBS
Commercial
Mortgage
Trust
4
.153
08/15/46
180,742‌
Series
-
2013
C15
(Class
A4)
1,282,000
i
WFRBS
Commercial
Mortgage
Trust
4
.387
12/15/46
1,257,558‌
Series
-
2013
C18
(Class
AS)
2,500,000
i
WFRBS
Commercial
Mortgage
Trust
4
.204
11/15/47
2,245,340‌
Series
-
2014
C24
(Class
B)
TOTAL
OTHER
MORTGAGE
BACKED
311,231,571‌
TOTAL
STRUCTURED
ASSETS
466,797,235‌
(Cost
$497,495,019)
TOTAL
LONG-TERM
INVESTMENTS
1,942,888,385‌
(Cost
$2,016,647,539)
REFERENCERATE
&
SPREAD
SHORT-TERM
INVESTMENTS
-
0.2%
GOVERNMENT
AGENCY
DEBT
-
0
.2
%
$
3,400,000
Federal
Home
Loan
Bank
(FHLB)
0
.000
07/26/23
3,389,521‌
TOTAL
GOVERNMENT
AGENCY
DEBT
3,389,521‌
TOTAL
SHORT-TERM
INVESTMENTS
3,389,521‌
(Cost
$3,388,324)
SHARES
EXP
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.1%
2,401,860
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5
.110
2,401,860‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
2,401,860‌
(Cost
$2,401,860)
TOTAL
INVESTMENTS
-
98.7%
1,948,679,766‌
(Cost
$2,022,437,723)
OTHER
ASSETS
&
LIABILITIES,
NET
-
1.3%
25,701,174‌
NET
ASSETS
-
100.0%
$
1,974,380,940‌
Short-Term
Bond
Fund
June
30,
2023
308
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
AVG
Average
CME
Chicago
Mercantile
Exchange
D
Day
LIBOR
London
Interbank
Offered
Rate
M
Month
REIT
Real
Estate
Investment
Trust
REMIC
Real
Estate
Mortgage
Investment
Conduit
SOFR
Secure
Overnight
Financing
Rate
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$2,307,085.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
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.
Futures
Contracts
-
Long
Description
Number
of
Contracts
Expiration
Date
Notional
Amount
Value
Unrealized
Appreciation
(Depreciation)
U.S.
Treasury
2-Year
Note
864‌
09/29/23
 $
177,981,060‌
$
175,689,000‌
$
(
2,292,060‌
)
Portfolio
of
Investments
Short-Term
Bond
Index
Fund
June
30,
2023
309
See
Notes
to
Portfolios
of
Investments
(Unaudited)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
LONG-TERM
INVESTMENTS
-
99.1%
CORPORATE
BONDS
-
25
.4
%
AUTOMOBILES
&
COMPONENTS
-
0
.9
%
$
1,000,000
American
Honda
Finance
Corp
0
.750
%
08/09/24
$
948,963‌
500,000
American
Honda
Finance
Corp
1
.500
01/13/25
471,173‌
500,000
American
Honda
Finance
Corp
4
.750
01/12/26
497,620‌
400,000
Aptiv
plc
2
.396
02/18/25
379,597‌
1,000,000
General
Motors
Financial
Co,
Inc
1
.050
03/08/24
967,011‌
400,000
General
Motors
Financial
Co,
Inc
1
.200
10/15/24
376,268‌
1,000,000
General
Motors
Financial
Co,
Inc
2
.900
02/26/25
948,832‌
750,000
General
Motors
Financial
Co,
Inc
3
.800
04/07/25
723,227‌
1,000,000
General
Motors
Financial
Co,
Inc
6
.050
10/10/25
1,001,749‌
700,000
General
Motors
Financial
Co,
Inc
5
.400
04/06/26
691,990‌
1,000,000
Honda
Motor
Co
Ltd
2
.271
03/10/25
950,979‌
750,000
J
Paul
Getty
Trust
0
.391
01/01/24
732,620‌
300,000
Magna
International,
Inc
4
.150
10/01/25
290,790‌
750,000
Toyota
Motor
Credit
Corp
0
.625
09/13/24
708,327‌
750,000
Toyota
Motor
Credit
Corp
4
.400
09/20/24
740,658‌
300,000
Toyota
Motor
Credit
Corp
4
.800
01/10/25
297,846‌
500,000
Toyota
Motor
Credit
Corp
1
.450
01/13/25
471,611‌
1,250,000
Toyota
Motor
Credit
Corp
3
.950
06/30/25
1,222,680‌
300,000
Toyota
Motor
Credit
Corp
3
.650
08/18/25
289,878‌
500,000
Toyota
Motor
Credit
Corp
5
.400
11/10/25
503,261‌
1,000,000
Toyota
Motor
Credit
Corp
4
.450
05/18/26
985,195‌
TOTAL
AUTOMOBILES
&
COMPONENTS
14,200,275‌
BANKS
-
7
.1
%
500,000
Australia
&
New
Zealand
Banking
Group
Ltd
5
.375
07/03/25
499,562‌
1,000,000
Australia
&
New
Zealand
Banking
Group
Ltd
5
.088
12/08/25
995,307‌
200,000
Banco
Bilbao
Vizcaya
Argentaria
S.A.
0
.875
09/18/23
197,920‌
600,000
Banco
Bilbao
Vizcaya
Argentaria
S.A.
5
.862
09/14/26
591,780‌
200,000
Banco
Santander
S.A.
3
.892
05/24/24
196,082‌
600,000
Banco
Santander
S.A.
3
.496
03/24/25
574,434‌
600,000
Banco
Santander
S.A.
2
.746
05/28/25
563,277‌
1,000,000
Banco
Santander
S.A.
5
.147
08/18/25
982,149‌
600,000
Banco
Santander
S.A.
5
.179
11/19/25
582,700‌
500,000
Bank
of
,NV
Scotia
5
.250
12/06/24
495,561‌
750,000
Bank
of
,NV
Scotia
5
.450
06/12/25
746,136‌
1,000,000
Bank
of
,NV
Scotia
4
.750
02/02/26
984,486‌
700,000
Bank
of
America
Corp
4
.200
08/26/24
686,873‌
750,000
Bank
of
America
Corp
0
.981
09/25/25
704,640‌
1,000,000
Bank
of
America
Corp
2
.456
10/22/25
954,802‌
2,500,000
Bank
of
America
Corp
1
.530
12/06/25
2,337,022‌
500,000
Bank
of
America
Corp
3
.384
04/02/26
479,253‌
500,000
Bank
of
America
Corp
1
.319
06/19/26
458,009‌
1,500,000
Bank
of
America
Corp
4
.827
07/22/26
1,474,436‌
1,250,000
Bank
of
America
Corp
1
.197
10/24/26
1,124,743‌
1,855,000
Bank
of
America
Corp
5
.080
01/20/27
1,826,541‌
1,000,000
Bank
of
America
Corp
1
.658
03/11/27
899,881‌
1,500,000
Bank
of
America
Corp
3
.559
04/23/27
1,422,107‌
500,000
Bank
of
New
York
Mellon
5
.148
05/22/26
496,857‌
500,000
Bank
of
Nova
Scotia
1
.450
01/10/25
468,342‌
750,000
Bank
of
Nova
Scotia
3
.450
04/11/25
722,105‌
1,000,000
Barclays
plc
4
.375
09/11/24
970,825‌
750,000
Barclays
plc
3
.650
03/16/25
718,790‌
200,000
Barclays
plc
2
.852
05/07/26
187,317‌
500,000
Barclays
plc
5
.200
05/12/26
482,203‌
Short-Term
Bond
Index
Fund
June
30,
2023
310
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
750,000
Barclays
plc
5
.304
%
08/09/26
$
731,617‌
500,000
Barclays
plc
7
.325
11/02/26
511,169‌
1,000,000
Barclays
plc
5
.829
05/09/27
986,404‌
1,000,000
BBVA
USA
3
.875
04/10/25
954,583‌
1,500,000
BHP
Billiton
Finance
USA
Ltd
4
.875
02/27/26
1,492,349‌
1,000,000
Citigroup,
Inc
4
.000
08/05/24
979,392‌
600,000
Citigroup,
Inc
1
.281
11/03/25
562,063‌
1,500,000
Citigroup,
Inc
2
.014
01/25/26
1,409,091‌
1,000,000
Citigroup,
Inc
4
.600
03/09/26
968,149‌
750,000
Citigroup,
Inc
3
.290
03/17/26
717,235‌
600,000
Citigroup,
Inc
3
.106
04/08/26
572,817‌
1,000,000
Citigroup,
Inc
5
.610
09/29/26
998,640‌
2,000,000
Citigroup,
Inc
1
.122
01/28/27
1,782,878‌
250,000
Citizens
Bank
NA
4
.119
05/23/25
236,759‌
500,000
Citizens
Bank
NA
6
.064
10/24/25
473,863‌
500,000
Citizens
Bank
NA
3
.750
02/18/26
455,459‌
300,000
Commonwealth
Bank
of
Australia
5
.079
01/10/25
298,929‌
1,000,000
Commonwealth
Bank
of
Australia
5
.316
03/13/26
1,002,758‌
300,000
Cooperatieve
Rabobank
UA
3
.875
08/22/24
293,855‌
1,000,000
Cooperatieve
Rabobank
UA
1
.375
01/10/25
940,260‌
500,000
Cooperatieve
Rabobank
UA
5
.000
01/13/25
496,032‌
300,000
Discover
Bank
2
.450
09/12/24
284,105‌
250,000
Discover
Bank
4
.682
08/09/28
228,577‌
500,000
Fifth
Third
Bank
3
.850
03/15/26
461,409‌
500,000
Fifth
Third
Bank
NA
5
.852
10/27/25
487,049‌
750,000
FNB
Corp
5
.150
08/25/25
718,134‌
500,000
HSBC
Holdings
plc
4
.250
03/14/24
493,616‌
250,000
HSBC
Holdings
plc
4
.180
12/09/25
242,675‌
925,000
HSBC
Holdings
plc
4
.300
03/08/26
894,037‌
1,000,000
HSBC
Holdings
plc
2
.999
03/10/26
948,061‌
500,000
HSBC
Holdings
plc
1
.645
04/18/26
460,546‌
750,000
HSBC
Holdings
plc
2
.099
06/04/26
694,016‌
1,000,000
HSBC
Holdings
plc
7
.336
11/03/26
1,029,352‌
1,000,000
HSBC
Holdings
plc
1
.589
05/24/27
882,561‌
750,000
HSBC
USA,
Inc
3
.750
05/24/24
735,957‌
1,000,000
HSBC
USA,
Inc
5
.625
03/17/25
995,536‌
1,000,000
Huntington
National
Bank
4
.008
05/16/25
961,160‌
500,000
Huntington
National
Bank
5
.699
11/18/25
485,735‌
400,000
ING
Groep
NV
4
.100
10/02/23
398,158‌
500,000
ING
Groep
NV
3
.869
03/28/26
480,165‌
750,000
JPMorgan
Chase
&
Co
3
.875
09/10/24
732,219‌
500,000
JPMorgan
Chase
&
Co
0
.768
08/09/25
470,917‌
500,000
JPMorgan
Chase
&
Co
2
.301
10/15/25
476,456‌
1,500,000
JPMorgan
Chase
&
Co
1
.561
12/10/25
1,404,447‌
1,000,000
JPMorgan
Chase
&
Co
5
.546
12/15/25
995,775‌
1,000,000
JPMorgan
Chase
&
Co
2
.595
02/24/26
948,243‌
750,000
JPMorgan
Chase
&
Co
2
.083
04/22/26
702,376‌
1,000,000
JPMorgan
Chase
&
Co
4
.080
04/26/26
971,765‌
1,000,000
JPMorgan
Chase
&
Co
1
.045
11/19/26
895,729‌
1,000,000
JPMorgan
Chase
&
Co
3
.960
01/29/27
961,462‌
1,000,000
JPMorgan
Chase
&
Co
1
.040
02/04/27
890,548‌
2,860,000
JPMorgan
Chase
&
Co
1
.578
04/22/27
2,568,890‌
750,000
KeyBank
NA
4
.150
08/08/25
693,073‌
1,000,000
KeyBank
NA
4
.700
01/26/26
930,980‌
1,000,000
Lloyds
Banking
Group
plc
3
.511
03/18/26
951,806‌
250,000
Lloyds
Banking
Group
plc
4
.650
03/24/26
238,755‌
1,000,000
Lloyds
Banking
Group
plc
4
.716
08/11/26
971,578‌
800,000
Lloyds
Banking
Group
plc
1
.627
05/11/27
707,615‌
500,000
Manufacturers
&
Traders
Trust
Co
5
.400
11/21/25
484,480‌
1,000,000
Manufacturers
&
Traders
Trust
Co
4
.650
01/27/26
955,212‌
600,000
Mitsubishi
UFJ
Financial
Group,
Inc
2
.193
02/25/25
565,412‌
311
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
300,000
Mitsubishi
UFJ
Financial
Group,
Inc
1
.412
%
07/17/25
$
274,673‌
750,000
Mitsubishi
UFJ
Financial
Group,
Inc
5
.063
09/12/25
740,922‌
1,000,000
Mitsubishi
UFJ
Financial
Group,
Inc
5
.719
02/20/26
994,628‌
300,000
Mitsubishi
UFJ
Financial
Group,
Inc
3
.850
03/01/26
287,433‌
750,000
e
Mitsubishi
UFJ
Financial
Group,
Inc
3
.837
04/17/26
720,883‌
750,000
Mitsubishi
UFJ
Financial
Group,
Inc
5
.541
04/17/26
745,412‌
1,000,000
Mizuho
Financial
Group,
Inc
2
.651
05/22/26
935,426‌
200,000
Mizuho
Financial
Group,
Inc
1
.234
05/22/27
175,728‌
600,000
Morgan
Stanley
Bank
NA
4
.754
04/21/26
591,163‌
500,000
National
Australia
Bank
Ltd
5
.200
05/13/25
498,921‌
1,000,000
e
National
Australia
Bank
Ltd
3
.500
06/09/25
966,402‌
500,000
National
Australia
Bank
Ltd
4
.966
01/12/26
497,150‌
250,000
National
Bank
of
Canada
5
.250
01/17/25
247,768‌
1,000,000
NatWest
Group
plc
7
.472
11/10/26
1,022,757‌
1,000,000
NatWest
Group
plc
5
.847
03/02/27
989,046‌
500,000
PNC
Financial
Services
Group,
Inc
5
.671
10/28/25
495,849‌
500,000
PNC
Financial
Services
Group,
Inc
5
.812
06/12/26
496,958‌
1,000,000
PNC
Financial
Services
Group,
Inc
4
.758
01/26/27
977,323‌
500,000
Royal
Bank
of
Canada
3
.970
07/26/24
490,991‌
500,000
Royal
Bank
of
Canada
0
.750
10/07/24
469,359‌
1,000,000
Royal
Bank
of
Canada
5
.660
10/25/24
999,596‌
1,000,000
Royal
Bank
of
Canada
1
.600
01/21/25
940,037‌
1,000,000
Royal
Bank
of
Canada
3
.375
04/14/25
962,675‌
300,000
Royal
Bank
of
Canada
4
.950
04/25/25
296,147‌
250,000
Royal
Bank
of
Canada
4
.875
01/12/26
247,241‌
500,000
Royal
Bank
of
Canada
0
.875
01/20/26
447,355‌
300,000
Royal
Bank
of
Canada
1
.200
04/27/26
267,525‌
500,000
Santander
Holdings
USA,
Inc
3
.450
06/02/25
471,490‌
250,000
Santander
Holdings
USA,
Inc
4
.260
06/09/25
239,953‌
425,000
Santander
Holdings
USA,
Inc
5
.807
09/09/26
417,410‌
150,000
Santander
Holdings
USA,
Inc
3
.244
10/05/26
135,053‌
1,500,000
State
Street
Corp
1
.746
02/06/26
1,405,396‌
1,000,000
State
Street
Corp
5
.104
05/18/26
992,386‌
500,000
State
Street
Corp
5
.751
11/04/26
502,743‌
300,000
Sumitomo
Mitsui
Financial
Group,
Inc
2
.696
07/16/24
290,267‌
500,000
Sumitomo
Mitsui
Financial
Group,
Inc
2
.448
09/27/24
478,923‌
750,000
Sumitomo
Mitsui
Financial
Group,
Inc
1
.474
07/08/25
688,774‌
500,000
Sumitomo
Mitsui
Financial
Group,
Inc
0
.948
01/12/26
445,704‌
1,500,000
Sumitomo
Mitsui
Financial
Group,
Inc
5
.464
01/13/26
1,494,993‌
500,000
Synchrony
Bank
5
.400
08/22/25
478,493‌
500,000
Synovus
Financial
Corp
5
.200
08/11/25
476,201‌
1,000,000
Toronto-Dominion
Bank
0
.700
09/10/24
942,823‌
500,000
Toronto-Dominion
Bank
4
.285
09/13/24
491,081‌
500,000
Toronto-Dominion
Bank
1
.250
12/13/24
470,586‌
500,000
Toronto-Dominion
Bank
1
.450
01/10/25
470,659‌
750,000
Toronto-Dominion
Bank
3
.766
06/06/25
727,140‌
500,000
Toronto-Dominion
Bank
5
.103
01/09/26
498,020‌
500,000
Truist
Bank
3
.300
05/15/26
458,432‌
1,000,000
Truist
Bank
2
.636
09/17/29
923,098‌
1,250,000
Truist
Financial
Corp
4
.260
07/28/26
1,201,397‌
750,000
Truist
Financial
Corp
5
.900
10/28/26
743,412‌
500,000
Truist
Financial
Corp
1
.267
03/02/27
440,925‌
750,000
Truist
Financial
Corp
6
.047
06/08/27
750,311‌
1,000,000
US
Bancorp
2
.400
07/30/24
964,551‌
500,000
US
Bancorp
1
.450
05/12/25
466,262‌
1,200,000
US
Bancorp
5
.727
10/21/26
1,199,310‌
500,000
Wells
Fargo
&
Co
2
.406
10/30/25
476,103‌
1,500,000
Wells
Fargo
&
Co
2
.164
02/11/26
1,412,506‌
1,670,000
Wells
Fargo
&
Co
3
.000
04/22/26
1,570,300‌
1,000,000
Wells
Fargo
&
Co
3
.908
04/25/26
966,782‌
1,000,000
Wells
Fargo
&
Co
2
.188
04/30/26
936,937‌
Short-Term
Bond
Index
Fund
June
30,
2023
312
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
BANKS—continued
$
1,150,000
Wells
Fargo
&
Co
4
.540
%
08/15/26
$
1,123,654‌
300,000
Wells
Fargo
&
Co
3
.196
06/17/27
281,745‌
750,000
Westpac
Banking
Corp
3
.735
08/26/25
726,840‌
TOTAL
BANKS
114,627,057‌
CAPITAL
GOODS
-
1
.4
%
500,000
e
3M
Co
2
.650
04/15/25
476,031‌
1,000,000
Air
Lease
Corp
0
.800
08/18/24
941,915‌
500,000
Air
Lease
Corp
2
.875
01/15/26
462,518‌
500,000
Boeing
Co
1
.950
02/01/24
488,592‌
1,250,000
Boeing
Co
1
.433
02/04/24
1,216,759‌
500,000
Boeing
Co
4
.875
05/01/25
492,895‌
300,000
Boeing
Co
2
.600
10/30/25
279,058‌
750,000
Boeing
Co
3
.100
05/01/26
704,570‌
260,000
Canadian
National
Railway
Co
2
.750
03/01/26
244,911‌
500,000
Caterpillar
Financial
Services
Corp
4
.900
01/17/25
497,488‌
500,000
Caterpillar
Financial
Services
Corp
5
.400
03/10/25
500,877‌
1,000,000
Caterpillar
Financial
Services
Corp
3
.400
05/13/25
968,164‌
500,000
Caterpillar
Financial
Services
Corp
3
.650
08/12/25
485,284‌
300,000
Caterpillar
Financial
Services
Corp
4
.800
01/06/26
299,344‌
500,000
Caterpillar
Financial
Services
Corp
4
.350
05/15/26
492,212‌
750,000
CNH
Industrial
Capital
LLC
3
.950
05/23/25
725,764‌
500,000
CNH
Industrial
Capital
LLC
5
.450
10/14/25
496,543‌
300,000
Cummins,
Inc
0
.750
09/01/25
273,121‌
300,000
Fortune
Brands
Innovations,
Inc
4
.000
06/15/25
290,369‌
500,000
Honeywell
International,
Inc
4
.850
11/01/24
497,010‌
500,000
Honeywell
International,
Inc
1
.350
06/01/25
466,465‌
500,000
John
Deere
Capital
Corp
0
.625
09/10/24
472,407‌
500,000
John
Deere
Capital
Corp
1
.250
01/10/25
471,192‌
750,000
John
Deere
Capital
Corp
2
.125
03/07/25
713,158‌
500,000
John
Deere
Capital
Corp
3
.400
06/06/25
484,141‌
750,000
John
Deere
Capital
Corp
4
.050
09/08/25
733,876‌
300,000
John
Deere
Capital
Corp
4
.800
01/09/26
298,893‌
500,000
John
Deere
Capital
Corp
5
.050
03/03/26
501,670‌
750,000
John
Deere
Capital
Corp
4
.750
06/08/26
748,597‌
500,000
Lockheed
Martin
Corp
4
.950
10/15/25
498,965‌
300,000
Otis
Worldwide
Corp
2
.056
04/05/25
282,715‌
750,000
PACCAR
Financial
Corp
0
.900
11/08/24
704,278‌
300,000
PACCAR
Financial
Corp
2
.850
04/07/25
287,131‌
500,000
PACCAR
Financial
Corp
3
.550
08/11/25
484,766‌
300,000
PACCAR
Financial
Corp
4
.950
10/03/25
298,074‌
250,000
Parker-Hannifin
Corp
3
.650
06/15/24
244,962‌
750,000
Quanta
Services,
Inc
0
.950
10/01/24
704,747‌
550,000
Raytheon
Technologies
Corp
5
.000
02/27/26
549,276‌
500,000
g
Regal
Rexnord
Corp
6
.050
02/15/26
500,635‌
1,000,000
Stanley
Black
&
Decker,
Inc
2
.300
02/24/25
946,350‌
500,000
United
Technologies
Corp
3
.950
08/16/25
489,898‌
200,000
Wabtec
Corp
4
.400
03/15/24
197,316‌
200,000
Westinghouse
Air
Brake
Technologies
Corp
3
.200
06/15/25
189,828‌
TOTAL
CAPITAL
GOODS
22,102,765‌
COMMERCIAL
&
PROFESSIONAL
SERVICES
-
0
.1
%
350,000
Equifax,
Inc
2
.600
12/15/25
325,603‌
200,000
Leidos,
Inc
3
.625
05/15/25
191,822‌
300,000
Republic
Services,
Inc
2
.500
08/15/24
289,399‌
300,000
Verisk
Analytics,
Inc
4
.000
06/15/25
291,137‌
TOTAL
COMMERCIAL
&
PROFESSIONAL
SERVICES
1,097,961‌
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
-
0
.6
%
500,000
Advance
Auto
Parts,
Inc
5
.900
03/09/26
494,498‌
700,000
Alibaba
Group
Holding
Ltd
3
.600
11/28/24
677,930‌
313
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL—continued
$
750,000
Amazon.com,
Inc
2
.730
%
04/13/24
$
734,243‌
1,000,000
Amazon.com,
Inc
0
.450
05/12/24
958,729‌
750,000
Amazon.com,
Inc
3
.000
04/13/25
723,523‌
1,000,000
Amazon.com,
Inc
4
.600
12/01/25
992,180‌
500,000
Amazon.com,
Inc
1
.000
05/12/26
449,513‌
500,000
eBay,
Inc
5
.900
11/22/25
505,358‌
350,000
eBay,
Inc
1
.400
05/10/26
316,001‌
225,000
Genuine
Parts
Co
1
.750
02/01/25
210,737‌
500,000
Home
Depot,
Inc
2
.700
04/15/25
479,549‌
1,000,000
Home
Depot,
Inc
4
.000
09/15/25
980,555‌
500,000
Lowe's
Cos,
Inc
3
.125
09/15/24
484,731‌
500,000
Lowe's
Cos,
Inc
3
.375
09/15/25
478,929‌
800,000
Lowe's
Cos,
Inc
4
.800
04/01/26
792,118‌
400,000
Ross
Stores,
Inc
0
.875
04/15/26
353,335‌
TOTAL
CONSUMER
DISCRETIONARY
DISTRIBUTION
&
RETAIL
9,631,929‌
CONSUMER
DURABLES
&
APPAREL
-
0
.1
%
250,000
Brunswick
Corp
0
.850
08/18/24
235,061‌
300,000
DR
Horton,
Inc
2
.600
10/15/25
280,649‌
200,000
PVH
Corp
4
.625
07/10/25
193,394‌
300,000
VF
Corp
2
.400
04/23/25
281,171‌
200,000
Whirlpool
Corp
3
.700
05/01/25
193,494‌
TOTAL
CONSUMER
DURABLES
&
APPAREL
1,183,769‌
CONSUMER
SERVICES
-
0
.3
%
1,250,000
Cintas
Corp
No
2
3
.450
05/01/25
1,209,630‌
500,000
CommonSpirit
Health
2
.760
10/01/24
481,315‌
250,000
Hyatt
Hotels
Corp
1
.800
10/01/24
237,947‌
500,000
Marriott
International,
Inc
3
.600
04/15/24
491,594‌
500,000
McDonald's
Corp
3
.300
07/01/25
482,003‌
300,000
McDonald's
Corp
1
.450
09/01/25
276,992‌
500,000
McDonald's
Corp
3
.700
01/30/26
483,306‌
1,000,000
Starbucks
Corp
4
.750
02/15/26
990,764‌
360,000
Trinity
Acquisition
plc
4
.400
03/15/26
346,824‌
TOTAL
CONSUMER
SERVICES
5,000,375‌
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
-
0
.2
%
500,000
Dollar
General
Corp
4
.250
09/20/24
490,361‌
300,000
Dollar
Tree,
Inc
4
.000
05/15/25
290,412‌
300,000
Kroger
Co
3
.500
02/01/26
287,270‌
500,000
Target
Corp
2
.250
04/15/25
476,175‌
750,000
Walmart,
Inc
3
.900
09/09/25
735,033‌
1,500,000
Walmart,
Inc
4
.000
04/15/26
1,473,525‌
TOTAL
CONSUMER
STAPLES
DISTRIBUTION
&
RETAIL
3,752,776‌
ENERGY
-
1
.3
%
1,355,000
BP
Capital
Markets
America,
Inc
3
.410
02/11/26
1,301,964‌
1,000,000
Chevron
Corp
3
.326
11/17/25
965,696‌
500,000
Chevron
USA,
Inc
3
.900
11/15/24
491,551‌
750,000
Chevron
USA,
Inc
0
.687
08/12/25
685,078‌
83,000
ConocoPhillips
Co
2
.400
03/07/25
79,109‌
200,000
Enable
Midstream
Partners
LP
3
.900
05/15/24
196,615‌
725,000
Enbridge,
Inc
2
.500
02/14/25
688,587‌
500,000
Energy
Transfer
Operating
LP
5
.875
01/15/24
500,084‌
500,000
Energy
Transfer
Operating
LP
2
.900
05/15/25
473,740‌
700,000
Enterprise
Products
Operating
LLC
5
.050
01/10/26
698,721‌
115,000
Enterprise
Products
Operating
LLC
3
.700
02/15/26
110,876‌
277,000
EQT
Corp
6
.125
02/01/25
275,443‌
775,000
Equinor
ASA
1
.750
01/22/26
714,667‌
600,000
Exxon
Mobil
Corp
2
.709
03/06/25
575,912‌
1,805,000
Exxon
Mobil
Corp
3
.043
03/01/26
1,725,254‌
Short-Term
Bond
Index
Fund
June
30,
2023
314
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
ENERGY—continued
$
200,000
HF
Sinclair
Corp
2
.625
%
10/01/23
$
198,337‌
100,000
HF
Sinclair
Corp
5
.875
04/01/26
100,442‌
750,000
Kinder
Morgan
Energy
Partners
LP
4
.250
09/01/24
734,855‌
300,000
Kinder
Morgan,
Inc
4
.300
06/01/25
292,615‌
195,000
Magellan
Midstream
Partners
LP
5
.000
03/01/26
193,124‌
1,000,000
Marathon
Petroleum
Corp
4
.700
05/01/25
981,134‌
750,000
MPLX
LP
4
.000
02/15/25
726,809‌
600,000
MPLX
LP
1
.750
03/01/26
544,633‌
300,000
Occidental
Petroleum
Corp
2
.900
08/15/24
288,802‌
300,000
e
Occidental
Petroleum
Corp
5
.500
12/01/25
296,181‌
250,000
Occidental
Petroleum
Corp
5
.550
03/15/26
246,813‌
500,000
ONEOK,
Inc
2
.750
09/01/24
483,178‌
500,000
ONEOK,
Inc
5
.850
01/15/26
501,850‌
500,000
Ovintiv,
Inc
5
.650
05/15/25
496,030‌
600,000
Phillips
66
1
.300
02/15/26
542,241‌
500,000
Pioneer
Natural
Resources
Co
1
.125
01/15/26
450,250‌
275,000
Pioneer
Natural
Resources
Co
5
.100
03/29/26
273,350‌
400,000
Plains
All
American
Pipeline
LP
4
.650
10/15/25
389,669‌
750,000
Sabine
Pass
Liquefaction
LLC
5
.625
03/01/25
747,043‌
1,000,000
Shell
International
Finance
BV
3
.250
05/11/25
966,539‌
750,000
TransCanada
PipeLines
Ltd
1
.000
10/12/24
704,623‌
750,000
Williams
Cos,
Inc
4
.550
06/24/24
739,845‌
1,000,000
Williams
Cos,
Inc
5
.400
03/02/26
997,386‌
TOTAL
ENERGY
21,379,046‌
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
-
0
.8
%
200,000
Alexandria
Real
Estate
Equities,
Inc
3
.450
04/30/25
191,354‌
200,000
American
Tower
Corp
4
.000
06/01/25
193,170‌
500,000
American
Tower
Corp
1
.300
09/15/25
452,949‌
500,000
American
Tower
Corp
1
.600
04/15/26
448,398‌
300,000
AvalonBay
Communities,
Inc
3
.450
06/01/25
288,746‌
500,000
Boston
Properties
LP
3
.200
01/15/25
474,269‌
500,000
Boston
Properties
LP
3
.650
02/01/26
463,865‌
500,000
Crown
Castle
International
Corp
3
.200
09/01/24
484,566‌
140,000
Crown
Castle
International
Corp
4
.450
02/15/26
136,231‌
400,000
Equinix,
Inc
1
.250
07/15/25
364,854‌
500,000
Equinix,
Inc
1
.450
05/15/26
446,401‌
200,000
ERP
Operating
LP
3
.375
06/01/25
191,903‌
750,000
Essex
Portfolio
LP
3
.500
04/01/25
718,901‌
500,000
GLP
Capital
LP
3
.350
09/01/24
482,634‌
200,000
Host
Hotels
&
Resorts
LP
4
.000
06/15/25
192,227‌
500,000
Kilroy
Realty
LP
4
.375
10/01/25
468,328‌
500,000
Mid-America
Apartments
LP
4
.000
11/15/25
483,701‌
42,000
Omega
Healthcare
Investors,
Inc
4
.375
08/01/23
41,909‌
500,000
Omega
Healthcare
Investors,
Inc
4
.500
01/15/25
479,136‌
500,000
OMEGA
Healthcare
Investors,
Inc
5
.250
01/15/26
481,409‌
500,000
Realty
Income
Corp
3
.875
04/15/25
484,556‌
500,000
Realty
Income
Corp
4
.625
11/01/25
492,054‌
250,000
Realty
Income
Corp
5
.050
01/13/26
247,795‌
500,000
Simon
Property
Group
LP
2
.000
09/13/24
477,095‌
500,000
Simon
Property
Group
LP
3
.375
10/01/24
484,640‌
500,000
Simon
Property
Group
LP
3
.300
01/15/26
475,674‌
500,000
Ventas
Realty
LP
2
.650
01/15/25
470,149‌
1,500,000
VICI
Properties
LP
4
.375
05/15/25
1,449,682‌
600,000
Welltower,
Inc
4
.000
06/01/25
579,696‌
500,000
Weyerhaeuser
Co
4
.750
05/15/26
491,131‌
TOTAL
EQUITY
REAL
ESTATE
INVESTMENT
TRUSTS
(REITS)
13,137,423‌
FINANCIAL
SERVICES
-
3
.8
%
150,000
AerCap
Ireland
Capital
DAC
4
.500
09/15/23
149,437‌
500,000
AerCap
Ireland
Capital
DAC
3
.150
02/15/24
490,489‌
315
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
300,000
AerCap
Ireland
Capital
DAC
2
.875
%
08/14/24
$
288,298‌
500,000
AerCap
Ireland
Capital
DAC
1
.650
10/29/24
469,855‌
500,000
AerCap
Ireland
Capital
DAC
1
.750
10/29/24
469,589‌
300,000
AerCap
Ireland
Capital
DAC
6
.500
07/15/25
301,483‌
500,000
AerCap
Ireland
Capital
DAC
1
.750
01/30/26
448,804‌
1,500,000
American
Express
Co
2
.250
03/04/25
1,420,661‌
750,000
American
Express
Co
3
.950
08/01/25
727,921‌
1,000,000
American
Express
Co
4
.900
02/13/26
989,732‌
1,000,000
American
Express
Co
4
.990
05/01/26
987,580‌
600,000
Ares
Capital
Corp
3
.250
07/15/25
554,971‌
500,000
Ares
Capital
Corp
3
.875
01/15/26
463,557‌
1,000,000
Bank
of
Montreal
0
.625
07/09/24
949,785‌
750,000
Bank
of
Montreal
4
.250
09/14/24
735,224‌
500,000
Bank
of
Montreal
5
.200
12/12/24
495,816‌
500,000
Bank
of
Montreal
1
.500
01/10/25
469,894‌
250,000
Bank
of
Montreal
3
.700
06/07/25
241,336‌
500,000
Bank
of
Montreal
5
.300
06/05/26
498,838‌
750,000
Bank
of
New
York
Mellon
Corp
0
.850
10/25/24
703,895‌
500,000
Bank
of
New
York
Mellon
Corp
3
.350
04/25/25
480,783‌
550,000
Bank
of
New
York
Mellon
Corp
4
.414
07/24/26
538,297‌
750,000
Bank
of
New
York
Mellon
Corp
4
.947
04/26/27
740,748‌
750,000
Berkshire
Hathaway,
Inc
3
.125
03/15/26
722,453‌
250,000
Blackstone
Secured
Lending
Fund
3
.650
07/14/23
249,722‌
750,000
Canadian
Imperial
Bank
of
Commerce
1
.000
10/18/24
706,388‌
1,000,000
Canadian
Imperial
Bank
of
Commerce
3
.300
04/07/25
960,121‌
500,000
Canadian
Imperial
Bank
of
Commerce
5
.144
04/28/25
495,872‌
750,000
Capital
One
Financial
Corp
3
.300
10/30/24
720,619‌
500,000
Capital
One
Financial
Corp
4
.166
05/09/25
487,060‌
1,000,000
Capital
One
Financial
Corp
2
.636
03/03/26
933,774‌
500,000
Capital
One
Financial
Corp
4
.985
07/24/26
484,625‌
1,000,000
Charles
Schwab
Corp
0
.750
03/18/24
964,749‌
500,000
Charles
Schwab
Corp
1
.150
05/13/26
442,474‌
750,000
Credit
Suisse
AG.
0
.495
02/02/24
721,477‌
1,000,000
Credit
Suisse
AG.
4
.750
08/09/24
977,309‌
500,000
Credit
Suisse
AG.
7
.950
01/09/25
510,121‌
750,000
Credit
Suisse
AG.
2
.950
04/09/25
704,792‌
300,000
Deutsche
Bank
AG.
2
.222
09/18/24
296,202‌
500,000
Deutsche
Bank
AG.
4
.162
05/13/25
481,628‌
750,000
Deutsche
Bank
AG.
1
.686
03/19/26
675,435‌
750,000
Deutsche
Bank
AG.
6
.119
07/14/26
741,650‌
500,000
Deutsche
Bank
AG.
2
.129
11/24/26
444,861‌
500,000
Discover
Financial
Services
4
.500
01/30/26
478,797‌
750,000
Fidelity
National
Information
Services,
Inc
4
.500
07/15/25
733,178‌
750,000
Fiserv,
Inc
2
.750
07/01/24
727,663‌
200,000
Fiserv,
Inc
3
.850
06/01/25
193,201‌
200,000
Franklin
Resources,
Inc
2
.850
03/30/25
190,379‌
500,000
FS
KKR
Capital
Corp
1
.650
10/12/24
464,919‌
200,000
FS
KKR
Capital
Corp
3
.400
01/15/26
181,901‌
1,000,000
Global
Payments,
Inc
1
.500
11/15/24
939,713‌
100,000
Global
Payments,
Inc
1
.200
03/01/26
88,868‌
250,000
Goldman
Sachs
BDC,
Inc
2
.875
01/15/26
229,669‌
750,000
Goldman
Sachs
Group,
Inc
3
.000
03/15/24
734,107‌
350,000
Goldman
Sachs
Group,
Inc
5
.700
11/01/24
349,413‌
1,500,000
Goldman
Sachs
Group,
Inc
3
.500
04/01/25
1,440,885‌
500,000
Goldman
Sachs
Group,
Inc
3
.750
05/22/25
482,580‌
1,000,000
Goldman
Sachs
Group,
Inc
3
.272
09/29/25
966,173‌
500,000
Goldman
Sachs
Group,
Inc
3
.750
02/25/26
479,911‌
1,250,000
Goldman
Sachs
Group,
Inc
1
.093
12/09/26
1,113,920‌
1,500,000
Goldman
Sachs
Group,
Inc
1
.431
03/09/27
1,340,258‌
1,500,000
Intercontinental
Exchange,
Inc
3
.650
05/23/25
1,469,124‌
500,000
Invesco
Finance
plc
3
.750
01/15/26
481,751‌
Short-Term
Bond
Index
Fund
June
30,
2023
316
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FINANCIAL
SERVICES—continued
$
1,905,000
Kreditanstalt
fuer
Wiederaufbau
3
.625
%
04/01/26
$
1,856,148‌
2,250,000
Morgan
Stanley
1
.164
10/21/25
2,102,909‌
750,000
Morgan
Stanley
3
.875
01/27/26
723,982‌
1,000,000
Morgan
Stanley
2
.630
02/18/26
948,004‌
1,000,000
Morgan
Stanley
2
.188
04/28/26
938,708‌
1,000,000
Morgan
Stanley
4
.679
07/17/26
981,288‌
1,250,000
Morgan
Stanley
6
.138
10/16/26
1,262,603‌
750,000
Morgan
Stanley
0
.985
12/10/26
668,705‌
1,000,000
Morgan
Stanley
5
.050
01/28/27
991,668‌
300,000
Morgan
Stanley
1
.593
05/04/27
268,565‌
500,000
NASDAQ,
Inc
5
.650
06/28/25
501,444‌
500,000
National
Rural
Utilities
Cooperative
Finance
Corp
1
.875
02/07/25
472,051‌
500,000
National
Rural
Utilities
Cooperative
Finance
Corp
3
.450
06/15/25
480,990‌
250,000
National
Rural
Utilities
Cooperative
Finance
Corp
5
.450
10/30/25
250,089‌
500,000
National
Rural
Utilities
Cooperative
Finance
Corp
4
.450
03/13/26
492,293‌
750,000
Nomura
Holdings,
Inc
5
.099
07/03/25
736,038‌
300,000
Nomura
Holdings,
Inc
1
.851
07/16/25
274,380‌
500,000
Nomura
Holdings,
Inc
5
.709
01/09/26
495,538‌
750,000
Oesterreichische
Kontrollbank
AG.
0
.500
09/16/24
707,218‌
1,000,000
Oesterreichische
Kontrollbank
AG.
2
.875
05/23/25
959,339‌
1,000,000
Oesterreichische
Kontrollbank
AG.
4
.625
11/03/25
994,900‌
400,000
Oesterreichische
Kontrollbank
AG.
4
.125
01/20/26
393,774‌
500,000
Owl
Rock
Capital
Corp
3
.750
07/22/25
463,319‌
500,000
OWL
Rock
Core
Income
Corp
5
.500
03/21/25
481,139‌
500,000
PayPal
Holdings,
Inc
1
.650
06/01/25
467,901‌
500,000
Synchrony
Financial
4
.375
03/19/24
490,231‌
500,000
Synchrony
Financial
4
.875
06/13/25
475,096‌
500,000
UBS
Group
AG.
3
.750
03/26/25
478,450‌
1,000,000
Visa,
Inc
3
.150
12/14/25
958,530‌
TOTAL
FINANCIAL
SERVICES
60,740,035‌
FOOD,
BEVERAGE
&
TOBACCO
-
0
.8
%
600,000
Altria
Group,
Inc
2
.350
05/06/25
564,634‌
1,000,000
Anheuser-Busch
Cos
LLC
3
.650
02/01/26
968,567‌
600,000
BAT
Capital
Corp
3
.222
08/15/24
582,276‌
500,000
BAT
Capital
Corp
2
.789
09/06/24
480,964‌
750,000
BAT
International
Finance
plc
1
.668
03/25/26
674,302‌
200,000
Bunge
Ltd
1
.630
08/17/25
184,011‌
500,000
Constellation
Brands,
Inc
4
.750
11/15/24
492,825‌
300,000
Constellation
Brands,
Inc
5
.000
02/02/26
298,877‌
500,000
Diageo
Capital
plc
2
.125
10/24/24
478,210‌
500,000
Diageo
Capital
plc
5
.200
10/24/25
500,576‌
300,000
General
Mills,
Inc
4
.000
04/17/25
292,359‌
1,000,000
Hormel
Foods
Corp
0
.650
06/03/24
956,281‌
300,000
JM
Smucker
Co
3
.500
03/15/25
289,868‌
300,000
McCormick
&
Co,
Inc
0
.900
02/15/26
267,438‌
1,000,000
PepsiCo,
Inc
2
.750
04/30/25
957,856‌
1,000,000
PepsiCo,
Inc
4
.550
02/13/26
996,985‌
750,000
Philip
Morris
International,
Inc
1
.500
05/01/25
701,436‌
500,000
Philip
Morris
International,
Inc
5
.000
11/17/25
497,423‌
1,250,000
Philip
Morris
International,
Inc
4
.875
02/13/26
1,241,154‌
500,000
Reynolds
American,
Inc
4
.450
06/12/25
485,870‌
500,000
Tyson
Foods,
Inc
4
.000
03/01/26
483,153‌
TOTAL
FOOD,
BEVERAGE
&
TOBACCO
12,395,065‌
HEALTH
CARE
EQUIPMENT
&
SERVICES
-
0
.9
%
500,000
AmerisourceBergen
Corp
3
.400
05/15/24
487,030‌
750,000
Baxter
International,
Inc
1
.322
11/29/24
703,703‌
300,000
Boston
Scientific
Corp
1
.900
06/01/25
281,182‌
400,000
Cigna
Corp
3
.250
04/15/25
383,044‌
1,000,000
Cigna
Corp
4
.125
11/15/25
973,501‌
317
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
HEALTH
CARE
EQUIPMENT
&
SERVICES—continued
$
500,000
Cigna
Corp
1
.250
%
03/15/26
$
449,033‌
500,000
CVS
Health
Corp
2
.625
08/15/24
483,560‌
300,000
CVS
Health
Corp
4
.100
03/25/25
293,553‌
750,000
CVS
Health
Corp
3
.875
07/20/25
728,919‌
625,000
CVS
Health
Corp
5
.000
02/20/26
622,098‌
1,000,000
Elevance
Health,
Inc
3
.500
08/15/24
974,249‌
500,000
Elevance
Health,
Inc
5
.350
10/15/25
498,917‌
150,000
Elevance
Health,
Inc
4
.900
02/08/26
147,534‌
500,000
GE
HealthCare
Technologies,
Inc
5
.550
11/15/24
497,548‌
500,000
GE
HealthCare
Technologies,
Inc
5
.600
11/15/25
500,323‌
1,000,000
HCA,
Inc
5
.250
04/15/25
987,159‌
500,000
HCA,
Inc
5
.375
09/01/26
496,071‌
500,000
Illumina,
Inc
5
.800
12/12/25
501,251‌
750,000
Laboratory
Corp
of
America
Holdings
3
.600
02/01/25
724,618‌
300,000
McKesson
Corp
0
.900
12/03/25
268,842‌
200,000
PeaceHealth
Obligated
Group
1
.375
11/15/25
180,212‌
300,000
Quest
Diagnostics,
Inc
3
.500
03/30/25
289,211‌
500,000
Stryker
Corp
1
.150
06/15/25
460,077‌
300,000
Stryker
Corp
3
.500
03/15/26
287,788‌
1,500,000
UnitedHealth
Group,
Inc
0
.550
05/15/24
1,437,473‌
250,000
UnitedHealth
Group,
Inc
5
.000
10/15/24
249,057‌
500,000
UnitedHealth
Group,
Inc
5
.150
10/15/25
501,385‌
575,000
Zimmer
Biomet
Holdings,
Inc
1
.450
11/22/24
541,446‌
300,000
Zimmer
Biomet
Holdings,
Inc
3
.050
01/15/26
283,378‌
TOTAL
HEALTH
CARE
EQUIPMENT
&
SERVICES
15,232,162‌
HOUSEHOLD
&
PERSONAL
PRODUCTS
-
0
.3
%
1,000,000
Colgate-Palmolive
Co
3
.100
08/15/25
962,737‌
750,000
Colgate-Palmolive
Co
4
.800
03/02/26
752,685‌
500,000
GSK
Consumer
Healthcare
Capital
UK
plc
3
.125
03/24/25
477,726‌
500,000
g
Kenvue,
Inc
5
.500
03/22/25
501,229‌
500,000
g
Kenvue,
Inc
5
.350
03/22/26
503,848‌
500,000
Procter
&
Gamble
Co
4
.100
01/26/26
493,921‌
400,000
Procter
&
Gamble
Co
1
.000
04/23/26
362,016‌
1,000,000
Unilever
Capital
Corp
3
.100
07/30/25
958,599‌
TOTAL
HOUSEHOLD
&
PERSONAL
PRODUCTS
5,012,761‌
INSURANCE
-
0
.3
%
500,000
Allied
World
Assurance
Co
Holdings
Ltd
4
.350
10/29/25
474,750‌
500,000
Allstate
Corp
0
.750
12/15/25
447,808‌
200,000
Allstate
Corp
5
.750
08/15/53
196,814‌
467,000
American
International
Group,
Inc
2
.500
06/30/25
439,824‌
500,000
Aon
plc
3
.875
12/15/25
481,904‌
300,000
Brown
&
Brown,
Inc
4
.200
09/15/24
292,950‌
315,000
CNA
Financial
Corp
4
.500
03/01/26
305,593‌
500,000
Corebridge
Financial,
Inc
3
.500
04/04/25
476,340‌
115,000
Hanover
Insurance
Group,
Inc
4
.500
04/15/26
111,311‌
150,000
Loews
Corp
3
.750
04/01/26
145,383‌
300,000
Manulife
Financial
Corp
4
.150
03/04/26
290,450‌
500,000
Marsh
&
McLennan
Cos,
Inc
3
.500
03/10/25
484,849‌
100,000
Marsh
&
McLennan
Cos,
Inc
3
.750
03/14/26
96,801‌
1,000,000
MetLife,
Inc
3
.000
03/01/25
965,396‌
500,000
Prudential
Financial,
Inc
1
.500
03/10/26
456,653‌
TOTAL
INSURANCE
5,666,826‌
MATERIALS
-
0
.7
%
1,500,000
Amcor
Flexibles
North
America,
Inc
4
.000
05/17/25
1,449,127‌
750,000
Avery
Dennison
Corp
0
.850
08/15/24
707,421‌
200,000
Celanese
US
Holdings
LLC
3
.500
05/08/24
195,731‌
500,000
Celanese
US
Holdings
LLC
5
.900
07/05/24
498,937‌
750,000
Celanese
US
Holdings
LLC
6
.050
03/15/25
746,936‌
Short-Term
Bond
Index
Fund
June
30,
2023
318
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
MATERIALS—continued
$
200,000
Celulosa
Arauco
y
Constitucion
S.A.
4
.500
%
08/01/24
$
196,572‌
1,000,000
DowDuPont,
Inc
4
.493
11/15/25
979,348‌
200,000
EI
du
Pont
de
Nemours
and
Co
1
.700
07/15/25
185,881‌
500,000
EIDP,
Inc
4
.500
05/15/26
490,891‌
500,000
FMC
Corp
5
.150
05/18/26
491,885‌
1,000,000
Linde,
Inc
4
.700
12/05/25
992,325‌
285,000
LyondellBasell
Industries
NV
5
.750
04/15/24
284,465‌
250,000
Nucor
Corp
3
.950
05/23/25
242,394‌
200,000
Nucor
Corp
2
.000
06/01/25
187,020‌
300,000
Nutrien
Ltd
5
.950
11/07/25
301,798‌
300,000
PPG
Industries,
Inc
2
.400
08/15/24
287,990‌
500,000
Sherwin-Williams
Co
4
.050
08/08/24
491,891‌
500,000
Sherwin-Williams
Co
4
.250
08/08/25
489,582‌
1,000,000
Sonoco
Products
Co
1
.800
02/01/25
933,479‌
200,000
Steel
Dynamics,
Inc
2
.400
06/15/25
186,800‌
200,000
Westlake
Chemical
Corp
0
.875
08/15/24
188,882‌
500,000
WRKCo,
Inc
4
.650
03/15/26
485,117‌
TOTAL
MATERIALS
11,014,472‌
MEDIA
&
ENTERTAINMENT
-
0
.8
%
300,000
Alphabet,
Inc
0
.450
08/15/25
274,640‌
300,000
Baidu,
Inc
3
.875
09/29/23
298,479‌
750,000
Blackstone
Private
Credit
Fund
2
.350
11/22/24
700,725‌
500,000
Blackstone
Private
Credit
Fund
2
.700
01/15/25
466,386‌
500,000
Blackstone
Private
Credit
Fund
4
.700
03/24/25
481,565‌
350,000
Blackstone
Private
Credit
Fund
7
.050
09/29/25
349,092‌
750,000
Charter
Communications
Operating
LLC
4
.908
07/23/25
735,485‌
1,500,000
Comcast
Corp
5
.250
11/07/25
1,508,104‌
1,000,000
Comcast
Corp
3
.150
03/01/26
957,843‌
200,000
Grupo
Televisa
SAB
4
.625
01/30/26
194,788‌
655,000
Omnicom
Group,
Inc
3
.600
04/15/26
629,122‌
200,000
Paramount
Global
4
.750
05/15/25
195,235‌
750,000
Schlumberger
Finance
Canada
Ltd
1
.400
09/17/25
690,181‌
750,000
Take-Two
Interactive
Software,
Inc
3
.550
04/14/25
723,207‌
500,000
Take-Two
Interactive
Software,
Inc
5
.000
03/28/26
495,244‌
205,000
ViacomCBS,
Inc
4
.000
01/15/26
195,135‌
500,000
Walt
Disney
Co
1
.750
08/30/24
479,183‌
1,000,000
Walt
Disney
Co
3
.150
09/17/25
960,128‌
100,000
Walt
Disney
Co
1
.750
01/13/26
92,545‌
750,000
Walt
Disney
Co
3
.000
02/13/26
716,473‌
525,000
Warnermedia
Holdings,
Inc
3
.638
03/15/25
506,375‌
500,000
Warnermedia
Holdings,
Inc
3
.788
03/15/25
482,020‌
TOTAL
MEDIA
&
ENTERTAINMENT
12,131,955‌
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
-
1
.2
%
750,000
AbbVie,
Inc
3
.850
06/15/24
737,332‌
1,500,000
AbbVie,
Inc
3
.800
03/15/25
1,458,329‌
500,000
AbbVie,
Inc
3
.600
05/14/25
483,348‌
750,000
AbbVie,
Inc
3
.200
05/14/26
710,822‌
750,000
Amgen,
Inc
1
.900
02/21/25
707,429‌
1,500,000
Amgen,
Inc
5
.250
03/02/25
1,492,076‌
750,000
AstraZeneca
Finance
LLC
0
.700
05/28/24
718,614‌
750,000
AstraZeneca
Finance
LLC
1
.200
05/28/26
676,757‌
750,000
AstraZeneca
plc
0
.700
04/08/26
670,044‌
500,000
Baxalta,
Inc
4
.000
06/23/25
485,066‌
500,000
Bristol-Myers
Squibb
Co
2
.900
07/26/24
486,896‌
500,000
Bristol-Myers
Squibb
Co
0
.750
11/13/25
454,303‌
750,000
Gilead
Sciences,
Inc
3
.700
04/01/24
739,174‌
500,000
Gilead
Sciences,
Inc
3
.500
02/01/25
484,819‌
500,000
Gilead
Sciences,
Inc
3
.650
03/01/26
481,006‌
1,120,000
Johnson
&
Johnson
2
.450
03/01/26
1,057,741‌
319
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES—continued
$
1,000,000
Merck
&
Co,
Inc
2
.750
%
02/10/25
$
962,445‌
200,000
Merck
&
Co,
Inc
0
.750
02/24/26
180,723‌
1,000,000
Novartis
Capital
Corp
3
.000
11/20/25
956,541‌
750,000
PerkinElmer,
Inc
0
.850
09/15/24
704,855‌
725,000
Pfizer
Investment
Enterprises
Pte
Ltd
4
.650
05/19/25
718,540‌
2,000,000
Pfizer
Investment
Enterprises
Pte
Ltd
4
.450
05/19/26
1,975,803‌
500,000
Royalty
Pharma
plc
0
.750
09/02/23
495,402‌
750,000
Thermo
Fisher
Scientific,
Inc
1
.215
10/18/24
709,178‌
300,000
Viatris,
Inc
1
.650
06/22/25
276,009‌
500,000
Zoetis,
Inc
5
.400
11/14/25
501,530‌
TOTAL
PHARMACEUTICALS,
BIOTECHNOLOGY
&
LIFE
SCIENCES
19,324,782‌
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
-
0
.5
%
250,000
Analog
Devices,
Inc
2
.950
04/01/25
240,251‌
500,000
Broadcom,
Inc
3
.625
10/15/24
486,098‌
300,000
Broadcom,
Inc
3
.150
11/15/25
284,997‌
800,000
Intel
Corp
3
.400
03/25/25
775,259‌
500,000
Intel
Corp
3
.700
07/29/25
486,253‌
1,250,000
Intel
Corp
4
.875
02/10/26
1,246,374‌
375,000
Lam
Research
Corp
3
.750
03/15/26
363,962‌
150,000
Marvell
Technology,
Inc
1
.650
04/15/26
135,103‌
1,000,000
Microchip
Technology,
Inc
4
.250
09/01/25
968,761‌
150,000
Micron
Technology,
Inc
4
.975
02/06/26
147,793‌
1,000,000
NVIDIA
Corp
0
.584
06/14/24
955,299‌
290,000
NXP
BV
5
.350
03/01/26
288,046‌
750,000
g
Qorvo,
Inc
1
.750
12/15/24
697,386‌
500,000
Texas
Instruments,
Inc
4
.700
11/18/24
498,643‌
TOTAL
SEMICONDUCTORS
&
SEMICONDUCTOR
EQUIPMENT
7,574,225‌
SOFTWARE
&
SERVICES
-
0
.6
%
200,000
Autodesk,
Inc
4
.375
06/15/25
195,425‌
120,000
Electronic
Arts
Inc
4
.800
03/01/26
119,025‌
150,000
Fortinet,
Inc
1
.000
03/15/26
133,793‌
1,500,000
International
Business
Machines
Corp
3
.000
05/15/24
1,465,995‌
600,000
International
Business
Machines
Corp
4
.000
07/27/25
586,453‌
500,000
International
Business
Machines
Corp
4
.500
02/06/26
492,893‌
1,000,000
Microsoft
Corp
3
.125
11/03/25
962,594‌
1,250,000
Oracle
Corp
3
.400
07/08/24
1,218,664‌
1,700,000
Oracle
Corp
2
.950
05/15/25
1,621,453‌
150,000
Oracle
Corp
5
.800
11/10/25
151,671‌
1,035,000
Oracle
Corp
1
.650
03/25/26
939,316‌
500,000
Roper
Technologies,
Inc
1
.000
09/15/25
454,616‌
500,000
salesforce.com,
Inc
0
.625
07/15/24
475,949‌
575,000
VMware,
Inc
1
.000
08/15/24
544,395‌
340,000
Western
Union
Co
1
.350
03/15/26
301,337‌
TOTAL
SOFTWARE
&
SERVICES
9,663,579‌
TECHNOLOGY
HARDWARE
&
EQUIPMENT
-
0
.8
%
1,000,000
Amphenol
Corp
4
.750
03/30/26
988,038‌
2,000,000
Apple,
Inc
2
.500
02/09/25
1,920,463‌
1,000,000
Apple,
Inc
1
.125
05/11/25
931,688‌
1,000,000
Apple,
Inc
0
.550
08/20/25
913,449‌
1,820,000
Apple,
Inc
3
.250
02/23/26
1,752,715‌
500,000
Arrow
Electronics,
Inc
4
.000
04/01/25
480,073‌
400,000
Cisco
Systems,
Inc
3
.500
06/15/25
388,201‌
200,000
Dell
International
LLC
5
.850
07/15/25
200,730‌
350,000
Dell
International
LLC
6
.020
06/15/26
355,743‌
200,000
Flex
Ltd
4
.750
06/15/25
195,264‌
185,000
Flex
Ltd
3
.750
02/01/26
175,819‌
1,000,000
Hewlett
Packard
Enterprise
Co
5
.900
10/01/24
1,000,287‌
500,000
Hewlett
Packard
Enterprise
Co
4
.900
10/15/25
493,782‌
Short-Term
Bond
Index
Fund
June
30,
2023
320
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
TECHNOLOGY
HARDWARE
&
EQUIPMENT—continued
$
250,000
Hewlett
Packard
Enterprise
Co
1
.750
%
04/01/26
$
227,706‌
300,000
HP,
Inc
2
.200
06/17/25
282,174‌
300,000
HP,
Inc
1
.450
06/17/26
269,196‌
150,000
Jabil,
Inc
1
.700
04/15/26
134,211‌
120,000
Juniper
Networks,
Inc
1
.200
12/10/25
107,438‌
300,000
NetApp,
Inc
1
.875
06/22/25
278,746‌
500,000
QUALCOMM,
Inc
3
.450
05/20/25
484,880‌
1,000,000
Tyco
Electronics
Group
S.A.
4
.500
02/13/26
985,103‌
690,000
Western
Digital
Corp
4
.750
02/15/26
657,237‌
TOTAL
TECHNOLOGY
HARDWARE
&
EQUIPMENT
13,222,943‌
TELECOMMUNICATION
SERVICES
-
0
.5
%
1,500,000
AT&T,
Inc
1
.700
03/25/26
1,367,238‌
1,000,000
g
Rogers
Communications,
Inc
2
.950
03/15/25
949,149‌
750,000
Sprint
Corp
7
.625
02/15/25
766,099‌
500,000
Sprint
Corp
7
.625
03/01/26
519,387‌
1,000,000
T-Mobile
USA,
Inc
3
.500
04/15/25
961,436‌
750,000
T-Mobile
USA,
Inc
1
.500
02/15/26
677,698‌
365,000
T-Mobile
USA,
Inc
2
.250
02/15/26
335,382‌
1,000,000
Verizon
Communications,
Inc
3
.376
02/15/25
965,875‌
750,000
Verizon
Communications,
Inc
1
.450
03/20/26
680,058‌
600,000
Vodafone
Group
plc
4
.125
05/30/25
585,427‌
TOTAL
TELECOMMUNICATION
SERVICES
7,807,749‌
TRANSPORTATION
-
0
.2
%
500,000
Burlington
Northern
Santa
Fe
LLC
3
.400
09/01/24
487,368‌
1,000,000
Canadian
Pacific
Railway
Co
1
.350
12/02/24
939,570‌
225,000
FedEx
Corp
3
.250
04/01/26
215,147‌
210,000
JB
Hunt
Transport
Services,
Inc
3
.875
03/01/26
202,488‌
500,000
Ryder
System,
Inc
2
.500
09/01/24
480,093‌
1,000,000
Union
Pacific
Corp
4
.750
02/21/26
993,019‌
TOTAL
TRANSPORTATION
3,317,685‌
UTILITIES
-
1
.2
%
500,000
AES
Corp
1
.375
01/15/26
446,595‌
1,000,000
American
Electric
Power
Co,
Inc
5
.699
08/15/25
993,240‌
1,000,000
Berkshire
Hathaway
Energy
Co
4
.050
04/15/25
976,038‌
300,000
Black
Hills
Corp
1
.037
08/23/24
283,385‌
1,000,000
Dominion
Energy,
Inc
3
.900
10/01/25
963,294‌
750,000
DTE
Energy
Co
(Step
Bond)
4
.220
11/01/24
733,208‌
750,000
Duke
Energy
Corp
5
.000
12/08/25
744,670‌
750,000
Edison
International
4
.700
08/15/25
732,619‌
500,000
Emera
US
Finance
LP
0
.833
06/15/24
472,823‌
500,000
Entergy
Arkansas
LLC
3
.500
04/01/26
478,624‌
500,000
Entergy
Louisiana
LLC
0
.950
10/01/24
471,316‌
500,000
Eversource
Energy
4
.200
06/27/24
491,752‌
750,000
Eversource
Energy
4
.750
05/15/26
735,062‌
500,000
Florida
Power
&
Light
Co
4
.450
05/15/26
494,775‌
200,000
National
Fuel
Gas
Co
5
.200
07/15/25
195,913‌
500,000
National
Fuel
Gas
Co
5
.500
01/15/26
492,883‌
175,000
National
Fuel
Gas
Co
5
.500
10/01/26
170,631‌
1,000,000
NextEra
Energy
Capital
Holdings,
Inc
4
.255
09/01/24
983,509‌
1,000,000
NextEra
Energy
Capital
Holdings,
Inc
6
.051
03/01/25
1,003,760‌
500,000
NextEra
Energy
Capital
Holdings,
Inc
4
.450
06/20/25
490,489‌
200,000
Pacific
Gas
and
Electric
Co
4
.250
08/01/23
199,795‌
250,000
Pacific
Gas
and
Electric
Co
4
.950
06/08/25
242,317‌
500,000
Pacific
Gas
and
Electric
Co
3
.150
01/01/26
463,947‌
500,000
Public
Service
Electric
and
Gas
Co
0
.950
03/15/26
450,930‌
750,000
Santander
UK
Group
Holdings
plc
6
.833
11/21/26
751,705‌
500,000
Sempra
Energy
3
.300
04/01/25
479,496‌
500,000
Sempra
Energy
5
.400
08/01/26
497,555‌
321
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
UTILITIES—continued
$
250,000
Southern
California
Edison
Co
4
.200
%
06/01/25
$
243,767‌
300,000
Southern
California
Edison
Co
4
.900
06/01/26
295,737‌
1,000,000
Southern
Co
2
.700
08/01/24
981,734‌
300,000
Southern
Co
4
.000
01/15/51
277,446‌
300,000
Southern
Power
Co
0
.900
01/15/26
268,817‌
250,000
Tampa
Electric
Co
3
.875
07/12/24
245,588‌
750,000
WEC
Energy
Group,
Inc
5
.000
09/27/25
742,991‌
800,000
WEC
Energy
Group,
Inc
4
.750
01/09/26
787,899‌
300,000
Wisconsin
Public
Service
Corp
5
.350
11/10/25
300,731‌
TOTAL
UTILITIES
19,585,041‌
TOTAL
CORPORATE
BONDS
408,802,656‌
(Cost
$419,599,972)
GOVERNMENT
BONDS
-
73
.7
%
AGENCY
SECURITIES
-
3
.2
%
1,500,000
Federal
Farm
Credit
Bank
(FFCB)
0
.500
12/01/23
1,469,381‌
330,000
FFCB
0
.250
02/26/24
319,130‌
3,000,000
FFCB
2
.625
05/16/24
2,927,240‌
1,500,000
FFCB
3
.375
08/26/24
1,466,203‌
1,000,000
FFCB
4
.250
09/26/24
986,849‌
1,000,000
FFCB
0
.875
11/18/24
941,908‌
2,000,000
FFCB
4
.625
12/05/24
1,979,819‌
1,750,000
FFCB
1
.125
01/06/25
1,647,277‌
1,000,000
FFCB
4
.500
01/10/25
989,813‌
1,000,000
e
FFCB
1
.750
02/14/25
948,190‌
2,000,000
FFCB
4
.375
02/23/26
1,984,384‌
750,000
FFCB
4
.375
06/23/26
747,511‌
4,000,000
e
Federal
Home
Loan
Bank
(FHLB)
2
.125
02/28/24
3,913,315‌
3,000,000
FHLB
2
.750
06/28/24
2,921,993‌
310,000
FHLB
3
.000
07/08/24
302,430‌
1,000,000
FHLB
4
.500
10/03/24
989,573‌
2,000,000
FHLB
0
.750
12/13/24
1,876,252‌
3,180,000
e
FHLB
4
.625
12/13/24
3,151,788‌
2,000,000
FHLB
1
.000
12/20/24
1,880,066‌
2,000,000
FHLB
5
.000
02/28/25
1,994,614‌
500,000
FHLB
4
.625
06/06/25
496,414‌
200,000
FHLB
3
.125
06/13/25
193,254‌
945,000
e
Federal
Home
Loan
Mortgage
Corp
(FHLMC)
0
.250
12/04/23
924,591‌
3,000,000
FHLMC
1
.500
02/12/25
2,831,922‌
4,000,000
FHLMC
0
.375
09/23/25
3,629,467‌
750,000
Federal
National
Mortgage
Association
(FNMA)
0
.250
07/10/23
749,321‌
2,000,000
FNMA
1
.625
01/07/25
1,896,330‌
4,500,000
FNMA
0
.625
04/22/25
4,161,670‌
2,500,000
FNMA
0
.500
11/07/25
2,265,792‌
500,000
Tennessee
Valley
Authority
(TVA)
0
.750
05/15/25
461,338‌
TOTAL
AGENCY
SECURITIES
51,047,835‌
FOREIGN
GOVERNMENT
BONDS
-
6
.2
%
750,000
African
Development
Bank
3
.375
07/07/25
728,242‌
265,000
African
Development
Bank
0
.875
03/23/26
239,344‌
500,000
Asian
Development
Bank
0
.250
10/06/23
493,576‌
1,000,000
Asian
Development
Bank
1
.625
03/15/24
973,633‌
1,500,000
Asian
Development
Bank
0
.375
06/11/24
1,430,354‌
1,500,000
Asian
Development
Bank
4
.125
09/27/24
1,476,607‌
2,220,000
Asian
Development
Bank
0
.625
10/08/24
2,092,634‌
1,500,000
Asian
Development
Bank
2
.875
05/06/25
1,443,002‌
720,000
Asian
Development
Bank
4
.625
06/13/25
714,984‌
1,000,000
Asian
Development
Bank
0
.375
09/03/25
909,101‌
910,000
Asian
Development
Bank
4
.250
01/09/26
900,038‌
1,000,000
Asian
Development
Bank
1
.000
04/14/26
905,806‌
Short-Term
Bond
Index
Fund
June
30,
2023
322
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
1,300,000
Asian
Infrastructure
Investment
Bank
0
.500
%
10/30/24
$
1,217,627‌
1,000,000
Asian
Infrastructure
Investment
Bank
3
.375
06/29/25
964,954‌
1,390,000
Asian
Infrastructure
Investment
Bank
0
.500
01/27/26
1,244,097‌
1,870,000
Canada
Government
International
Bond
2
.875
04/28/25
1,800,553‌
1,000,000
Canada
Government
International
Bond
0
.750
05/19/26
897,328‌
310,000
Chile
Government
International
Bond
3
.125
01/21/26
297,033‌
675,000
Corp
Andina
de
Fomento
1
.250
10/26/24
633,647‌
1,000,000
Corp
Andina
de
Fomento
5
.250
11/21/25
990,262‌
500,000
Corp
Andina
de
Fomento
4
.750
04/01/26
489,765‌
1,500,000
Council
Of
Europe
Development
Bank
3
.000
06/16/25
1,443,199‌
750,000
Council
Of
Europe
Development
Bank
3
.750
05/25/26
732,543‌
2,000,000
European
Bank
for
Reconstruction
&
Development
0
.500
05/19/25
1,837,939‌
755,000
European
Bank
for
Reconstruction
&
Development
0
.500
01/28/26
678,694‌
1,500,000
European
Investment
Bank
3
.250
01/29/24
1,481,191‌
2,000,000
European
Investment
Bank
0
.375
07/24/24
1,897,882‌
1,000,000
e
European
Investment
Bank
2
.500
10/15/24
964,985‌
2,250,000
European
Investment
Bank
0
.625
07/25/25
2,064,276‌
1,500,000
European
Investment
Bank
2
.750
08/15/25
1,436,706‌
1,000,000
European
Investment
Bank
0
.375
03/26/26
892,354‌
1,750,000
Export
Development
Canada
3
.375
08/26/25
1,697,598‌
500,000
Export
Development
Canada
4
.375
06/29/26
497,080‌
750,000
Export-Import
Bank
of
Korea
0
.625
06/29/24
713,747‌
500,000
Export-Import
Bank
of
Korea
4
.000
09/15/24
490,165‌
500,000
Export-Import
Bank
of
Korea
1
.250
01/18/25
469,130‌
750,000
Export-Import
Bank
of
Korea
4
.875
01/11/26
741,779‌
1,000,000
Inter-American
Development
Bank
2
.625
01/16/24
985,189‌
500,000
Inter-American
Development
Bank
3
.250
07/01/24
489,029‌
1,500,000
Inter-American
Development
Bank
0
.500
09/23/24
1,413,225‌
2,000,000
Inter-American
Development
Bank
2
.125
01/15/25
1,909,134‌
500,000
Inter-American
Development
Bank
1
.750
03/14/25
472,805‌
1,700,000
Inter-American
Development
Bank
0
.875
04/20/26
1,533,590‌
2,000,000
h
Inter-American
Development
Bank
4
.500
05/15/26
1,994,051‌
1,000,000
Inter-American
Investment
Corp
2
.625
04/22/25
954,791‌
500,000
International
Bank
for
Reconstruction
&
Development
2
.250
03/28/24
487,902‌
1,500,000
International
Bank
for
Reconstruction
&
Development
1
.500
08/28/24
1,435,123‌
2,000,000
International
Bank
for
Reconstruction
&
Development
2
.500
11/25/24
1,926,147‌
1,500,000
International
Bank
for
Reconstruction
&
Development
0
.750
03/11/25
1,395,558‌
1,500,000
e
International
Bank
for
Reconstruction
&
Development
0
.625
04/22/25
1,386,484‌
1,500,000
International
Bank
for
Reconstruction
&
Development
2
.500
07/29/25
1,431,269‌
2,585,000
International
Bank
for
Reconstruction
&
Development
0
.500
10/28/25
2,346,247‌
500,000
International
Finance
Corp
2
.875
07/31/23
499,160‌
750,000
International
Finance
Corp
3
.625
09/15/25
732,153‌
1,000,000
International
Finance
Corp
2
.126
04/07/26
934,353‌
700,000
Japan
Bank
for
International
Cooperation
3
.375
10/31/23
694,674‌
1,050,000
Japan
Bank
for
International
Cooperation
0
.500
04/15/24
1,008,450‌
1,000,000
Japan
Bank
for
International
Cooperation
1
.750
10/17/24
952,618‌
400,000
Japan
Bank
for
International
Cooperation
2
.875
04/14/25
383,055‌
1,000,000
Japan
Bank
for
International
Cooperation
3
.875
09/16/25
974,692‌
1,000,000
Japan
Bank
for
International
Cooperation
4
.250
01/26/26
983,002‌
500,000
Japan
Bank
for
International
Cooperation
4
.250
04/27/26
490,868‌
550,000
Korea
Development
Bank
0
.500
10/27/23
540,727‌
500,000
Korea
Development
Bank
0
.400
06/19/24
475,679‌
1,000,000
Korea
Development
Bank
2
.000
02/24/25
946,418‌
750,000
Korea
Development
Bank
4
.000
09/08/25
727,803‌
500,000
Korea
Government
International
Bond
3
.875
09/11/23
498,282‌
1,500,000
Kreditanstalt
fuer
Wiederaufbau
0
.500
09/20/24
1,414,299‌
3,000,000
Kreditanstalt
fuer
Wiederaufbau
1
.250
01/31/25
2,822,407‌
3,000,000
Kreditanstalt
fuer
Wiederaufbau
3
.125
06/10/25
2,896,676‌
3,500,000
Kreditanstalt
fuer
Wiederaufbau
0
.375
07/18/25
3,195,825‌
1,500,000
Landwirtschaftliche
Rentenbank
0
.500
05/27/25
1,376,647‌
1,000,000
Mexico
Government
International
Bond
3
.900
04/27/25
981,481‌
323
See
Notes
to
Portfolios
of
Investments
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
FOREIGN
GOVERNMENT
BONDS—continued
$
1,000,000
Nordic
Investment
Bank
0
.375
%
09/20/24
$
941,478‌
500,000
Nordic
Investment
Bank
2
.625
04/04/25
479,315‌
300,000
Panama
Government
International
Bond
3
.750
03/16/25
290,219‌
460,000
Panama
Government
International
Bond
7
.125
01/29/26
479,311‌
1,015,000
Philippine
Government
International
Bond
5
.500
03/30/26
1,029,785‌
1,000,000
Poland
Government
International
Bond
4
.000
01/22/24
990,604‌
750,000
Province
of
Alberta
Canada
1
.875
11/13/24
714,942‌
500,000
Province
of
British
Columbia
Canada
1
.750
09/27/24
478,001‌
1,000,000
Province
of
Ontario
Canada
3
.050
01/29/24
985,668‌
2,595,000
Province
of
Ontario
Canada
1
.050
04/14/26
2,345,854‌
1,000,000
Province
of
Quebec
Canada
2
.875
10/16/24
968,158‌
750,000
Province
of
Quebec
Canada
1
.500
02/11/25
706,830‌
1,000,000
Province
of
Quebec
Canada
0
.600
07/23/25
914,990‌
100,000
Province
of
Quebec
Canada
2
.500
04/20/26
94,167‌
1,000,000
Republic
of
Italy
Government
International
Bond
6
.875
09/27/23
1,002,000‌
1,000,000
Republic
of
Italy
Government
International
Bond
0
.875
05/06/24
956,634‌
300,000
Republic
of
Italy
Government
International
Bond
2
.375
10/17/24
286,386‌
500,000
Republic
of
Italy
Government
International
Bond
1
.250
02/17/26
446,290‌
500,000
Svensk
Exportkredit
AB
3
.625
09/03/24
488,661‌
925,000
Svensk
Exportkredit
AB
0
.625
10/07/24
870,699‌
750,000
Svensk
Exportkredit
AB
4
.000
07/15/25
734,397‌
750,000
Svensk
Exportkredit
AB
4
.625
11/28/25
744,030‌
1,000,000
Svensk
Exportkredit
AB
4
.375
02/13/26
988,242‌
TOTAL
FOREIGN
GOVERNMENT
BONDS
100,508,329‌
MUNICIPAL
BONDS
-
0
.0
%
280,000
Port
Authority
of
New
York
&
New
Jersey
1
.086
07/01/23
280,000‌
TOTAL
MUNICIPAL
BONDS
280,000‌
U.S.
TREASURY
SECURITIES
-
64
.3
%
23,000,000
United
States
Treasury
Note
0
.375
08/15/24
21,760,156‌
9,000,000
United
States
Treasury
Note
3
.250
08/31/24
8,783,789‌
32,500,000
United
States
Treasury
Note
0
.375
09/15/24
30,632,519‌
9,500,000
United
States
Treasury
Note
4
.250
09/30/24
9,375,313‌
30,000,000
United
States
Treasury
Note
0
.625
10/15/24
28,264,453‌
38,500,000
United
States
Treasury
Note
4
.375
10/31/24
38,035,293‌
44,500,000
United
States
Treasury
Note
0
.750
11/15/24
41,854,336‌
28,500,000
United
States
Treasury
Note
4
.500
11/30/24
28,197,188‌
44,500,000
United
States
Treasury
Note
1
.000
12/15/24
41,880,410‌
7,820,000
United
States
Treasury
Note
4
.250
12/31/24
7,710,642‌
26,500,000
United
States
Treasury
Note
1
.125
01/15/25
24,920,351‌
43,500,000
United
States
Treasury
Note
4
.125
01/31/25
42,816,914‌
22,000,000
United
States
Treasury
Note
1
.500
02/15/25
20,764,219‌
19,500,000
United
States
Treasury
Note
4
.625
02/28/25
19,348,418‌
43,000,000
United
States
Treasury
Note
1
.750
03/15/25
40,675,313‌
15,000,000
United
States
Treasury
Note
2
.625
04/15/25
14,388,281‌
35,000,000
United
States
Treasury
Note
2
.750
05/15/25
33,617,773‌
26,000,000
United
States
Treasury
Note
2
.875
06/15/25
25,009,766‌
13,500,000
United
States
Treasury
Note
4
.625
06/30/25
13,438,301‌
33,000,000
United
States
Treasury
Note
3
.000
07/15/25
31,805,039‌
43,000,000
United
States
Treasury
Note
3
.125
08/15/25
41,530,273‌
5,000,000
United
States
Treasury
Note
0
.250
08/31/25
4,536,328‌
34,500,000
United
States
Treasury
Note
3
.500
09/15/25
33,567,422‌
4,000,000
United
States
Treasury
Note
0
.250
09/30/25
3,622,969‌
30,000,000
United
States
Treasury
Note
4
.250
10/15/25
29,664,844‌
52,000,000
United
States
Treasury
Note
4
.500
11/15/25
51,729,844‌
42,000,000
United
States
Treasury
Note
4
.000
12/15/25
41,342,109‌
47,500,000
United
States
Treasury
Note
3
.875
01/15/26
46,613,086‌
63,000,000
United
States
Treasury
Note
4
.000
02/15/26
62,032,852‌
53,000,000
United
States
Treasury
Note
4
.625
03/15/26
53,057,969‌
14,500,000
United
States
Treasury
Note
3
.750
04/15/26
14,191,875‌
Short-Term
Bond
Index
Fund
June
30,
2023
324
See
Notes
to
Portfolios
of
Investments
Portfolio
of
Investments
(continued)
PRINCIPAL
DESCRIPTION
REFERENCE
RATE
&
SPREAD
RATE
MATURITY
DATE
VALUE
U.S.
TREASURY
SECURITIES—continued
$
86,750,000
United
States
Treasury
Note
3
.625
%
05/15/26
$
84,635,469‌
46,500,000
United
States
Treasury
Note
4
.125
06/15/26
46,031,367‌
TOTAL
U.S.
TREASURY
SECURITIES
1,035,834,881‌
TOTAL
GOVERNMENT
BONDS
1,187,671,045‌
(Cost
$1,219,962,324)
STRUCTURED
ASSETS
-
0
.0
%
ASSET
BACKED
-
0
.0
%
200,000
Delta
Air
Lines
Pass
Through
Trust
3
.204
04/25/24
195,976‌
Series
-
2019
1
(Class
AA)
TOTAL
ASSET
BACKED
195,976‌
TOTAL
STRUCTURED
ASSETS
195,976‌
(Cost
$206,929)
TOTAL
LONG-TERM
INVESTMENTS
1,596,669,677‌
(Cost
$1,639,769,225)
REFERENCERATE
&
SPREAD
SHORT-TERM
INVESTMENTS
-
1.8%
REPURCHASE
AGREEMENT
-
1
.8
%
$
28,555,000
r
Fixed
Income
Clearing
Corp
(FICC)
5
.050
07/03/23
28,555,000‌
TOTAL
REPURCHASE
AGREEMENT
28,555,000‌
TOTAL
SHORT-TERM
INVESTMENTS
28,555,000‌
(Cost
$28,555,000)
SHARES
EXP
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.4%
5,973,684
c
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
5
.110
5,973,684‌
TOTAL
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
5,973,684‌
(Cost
$5,973,684)
TOTAL
INVESTMENTS
-
101.3%
1,631,198,361‌
(Cost
$1,674,297,909)
OTHER
ASSETS
&
LIABILITIES,
NET
-
(1.3)%
(
20,918,757‌
)
NET
ASSETS
-
100.0%
$
1,610,279,604‌
c
Investments
made
with
cash
collateral
received
from
securities
on
loan.
e
All
or
a
portion
of
these
securities
are
out
on
loan.
The
aggregate
value
of
securities
on
loan
is
$5,819,844.
g
Security
is
exempt
from
registration
under
Rule
144(A)
of
the
Securities
Act
of
1933,
as
amended.
These
securities
are
deemed
liquid
and
may
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
h
All
or
a
portion
of
these
securities
were
purchased
on
a
delayed
delivery
basis.
r
Agreement
with
Fixed
Income
Clearing
Corp
(FICC),
5.050%
dated
6/30/23
to
be
repurchased
at
$28,555,000
on
7/3/23,
collateralized
by
Government
Agency
Securities,
with
coupon
rate
2.625%
and
maturity
date
5/31/27,
valued
at
$29,126,174.
Notes
to
Portfolios
of
Investments
(Unaudited)
325
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 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
The
Funds’
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Adviser,
subject
to
the
review
and
oversight
of
the
Board.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
that
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels:
Level
1
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
A
description
of
the
valuation
techniques
applied
to
the
Funds’
major
classifications
of
assets
and
liabilities
measured
at
fair
value
follows:
Fund
Level
1
Level
2
Level
3
Total
Real
Estate
Securities
Long-Term
Investments
:
Common
stocks
$2,942,120,260
$—
$—
$2,942,120,260
Short-Term
Investments
:
Government
agency
debt
4,974,990
4,974,990
Repurchase
agreement
13,337,000
13,337,000
Total
$2,942,120,260
$18,311,990
$—
$2,960,432,250
1
1
1
1
1
Bond
Index
Long-Term
Investments
:
Corporate
bonds
$—
$5,282,040,463
$—
$5,282,040,463
Government
bonds
15,130,414,342
15,130,414,342
Structured
assets
458,510,424
458,510,424
Short-Term
Investments
:
Government
agency
debt
26,195,093
26,195,093
Repurchase
agreement
116,595,000
116,595,000
Investments
purchased
with
collateral
from
securities
lending
111,799,939
111,799,939
Total
$111,799,939
$21,013,755,322
$—
$21,125,555,261
1
1
1
1
1
Core
Bond
Long-Term
Investments
:
Bank
loan
obligations
$—
$163,282,026
$—
$163,282,026
Corporate
bonds
3,406,509,937
1,966,648
3,408,476,585
Government
bonds
4,031,416,866
4,031,416,866
Structured
assets
1,747,850,849
3,921,294
1,751,772,143
Common
stocks
377,417
14,232
391,649
Preferred
stocks
10,325,852
10,325,852
Short-Term
Investments
:
Government
agency
debt
31,095,483
31,095,483
Repurchase
agreement
73,230,000
73,230,000
Treasury
debt
50,802,356
50,802,356
Investments
purchased
with
collateral
from
securities
lending
81,121,762
81,121,762
Investments
in
Derivatives
:
Forward
foreign
currency
contracts*
31,088
31,088
Credit
default
swap
contracts*
(5,122,886)
(5,122,886)
Total
$91,447,614
$9,499,473,136
$5,902,174
$9,596,822,924
1
1
1
1
1
Notes
to
Portfolios
of
Investments
(Unaudited)
(continued)
326
Fund
Level
1
Level
2
Level
3
Total
Core
Impact
Bond
Long-Term
Investments
:
Bank
loan
obligations
$—
$41,834,384
$300,000
$42,134,384
Corporate
bonds
1,778,102,058
1,778,102,058
Government
bonds
3,194,776,615
61,781
3,194,838,396
Structured
assets
922,544,513
1,675,139
924,219,652
Preferred
stocks
32,879,896
32,879,896
Short-Term
Investments
:
Repurchase
agreement
87,265,000
87,265,000
Investments
purchased
with
collateral
from
securities
lending
57,386,614
57,386,614
Investments
in
Derivatives
:
Forward
foreign
currency
contracts*
33,257
33,257
Total
$90,266,510
$6,024,555,827
$2,036,920
$6,116,859,257
1
1
1
1
1
Core
Plus
Bond
Long-Term
Investments
:
Bank
loan
obligations
$—
$138,151,748
$—
$138,151,748
Corporate
bonds
1,747,600,683
1,474,986
1,749,075,669
Government
bonds
1,663,286,939
1,663,286,939
Structured
assets
813,251,036
2,919,195
816,170,231
Common
stocks
415,512
10,004
425,516
Preferred
stocks
4,462,879
4,462,879
Short-Term
Investments
:
Government
agency
debt
4,984,590
4,984,590
Repurchase
agreement
24,860,000
24,860,000
Treasury
debt
73,294,322
73,294,322
Investments
purchased
with
collateral
from
securities
lending
68,440,875
68,440,875
Investments
in
Derivatives
:
Forward
foreign
currency
contracts*
19,281
19,281
Credit
default
swap
contracts*
(5,159,967)
(5,159,967)
Total
$72,903,754
$4,460,704,144
$4,404,185
$4,538,012,083
1
1
1
1
1
5-15
Year
Laddered
Tax-Exempt
Bond
Long-Term
Investments:
Long-term
municipal
bonds
$
$
225,872,780
$
$
225,872,780
Short-Term
Investments:
Repurchase
agreement
4,085,000
4,085,000
Total
$—
$229,957,780
$—
$229,957,780
1
1
1
1
1
Green
Bond
Long-Term
Investments
:
Bank
loan
obligations
$—
$1,855,602
$—
$1,855,602
Corporate
bonds
76,723,532
76,723,532
Government
bonds
34,324,514
34,324,514
Structured
assets
25,390,212
148,213
25,538,425
Preferred
stocks
836,020
836,020
Short-Term
Investments
:
Repurchase
agreement
2,950,000
2,950,000
Investments
purchased
with
collateral
from
securities
lending
212,052
212,052
Total
$1,048,072
$141,243,860
$148,213
$142,440,145
1
1
1
1
1
High-Yield
Long-Term
Investments
:
Bank
loan
obligations
$—
$146,011,559
$—
$146,011,559
Corporate
bonds
1,853,730,559
1,853,730,559
Common
stocks
19,578,456
4,630
9,106
19,592,192
Short-Term
Investments
:
Government
agency
debt
9,997,316
9,997,316
Repurchase
agreement
24,730,000
24,730,000
Investments
purchased
with
collateral
from
securities
lending
82,367,105
82,367,105
Total
$101,945,561
$2,034,474,064
$9,106
$2,136,428,731
1
1
1
1
1
Inflation-Linked
Bond
Long-Term
Investments
:
Government
bonds
$—
$2,793,713,347
$—
$2,793,713,347
Short-Term
Investments
:
Repurchase
agreement
2,110,000
2,110,000
Investments
in
Derivatives
:
Futures
contracts*
(993,558)
(993,558)
Total
$(993,558)
$2,795,823,347
$—
$2,794,829,789
1
1
1
1
1
327
Fund
Level
1
Level
2
Level
3
Total
Short
Duration
Impact
Bond
Long-Term
Investments
:
Bank
loan
obligations
$—
$1,855,602
$—
$1,855,602
Corporate
bonds
17,037,853
17,037,853
Government
bonds
33,257,292
33,257,292
Structured
assets
12,309,955
12,309,955
Short-Term
Investments
:
Repurchase
agreement
2,595,000
2,595,000
Investments
purchased
with
collateral
from
securities
lending
2,201
2,201
Total
$2,201
$67,055,702
$—
$67,057,903
1
1
1
1
1
Short-Term
Bond
Long-Term
Investments
:
Bank
loan
obligations
$—
$42,286,443
$—
$42,286,443
Corporate
bonds
667,939,839
667,939,839
Government
bonds
765,864,868
765,864,868
Structured
assets
466,797,235
466,797,235
Short-Term
Investments
:
Government
agency
debt
3,389,521
3,389,521
Investments
purchased
with
collateral
from
securities
lending
2,401,860
2,401,860
Investments
in
Derivatives
:
Futures
contracts*
(2,292,060)
(2,292,060)
Total
$109,800
$1,946,277,906
$—
$1,946,387,706
1
1
1
1
1
Short-Term
Bond
Index
Long-Term
Investments
:
Corporate
bonds
$—
$408,802,656
$—
$408,802,656
Government
bonds
1,187,671,045
1,187,671,045
Structured
assets
195,976
195,976
Short-Term
Investments
:
Repurchase
agreement
28,555,000
28,555,000
Investments
purchased
with
collateral
from
securities
lending
5,973,684
5,973,684
Total
$5,973,684
$1,625,224,677
$—
$1,631,198,361
1
1
1
1
1
*
Represents
net
unrealized
appreciation
(depreciation).
A12451-C
(8/23)