NPORT-EX 2 MS_ETF_Trust_Part_F.htm PART F
Morgan
Stanley
ETF
Trust
Calvert
International
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Shares
Value
Common
Stocks
(99.6%)
Australia
(
5
.0
%
)
ANZ
Group
Holdings
Ltd.
18,818
$
332,417
APA
Group
5,045
21,765
ASX
Ltd.
935
37,663
BlueScope
Steel
Ltd.
7,606
87,988
Brambles
Ltd.
10,711
127,553
CAR
Group
Ltd.
975
21,743
Cochlear
Ltd.
478
85,763
Coles
Group
Ltd.
12,035
140,713
Commonwealth
Bank
of
Australia
9,311
883,186
Computershare
Ltd.
2,214
46,524
Endeavour
Group
Ltd.
8,760
22,772
Fortescue
Ltd.
17,353
196,017
Goodman
Group
10,233
225,734
Insurance
Australia
Group
Ltd.
16,455
86,164
Macquarie
Group
Ltd.
2,400
329,257
Medibank
Pvt.
Ltd.
18,482
43,355
National
Australia
Bank
Ltd.
17,661
405,550
Northern
Star
Resources
Ltd.
12,032
114,985
Pilbara
Minerals
Ltd.(a)
49,886
67,620
Pro
Medicus
Ltd.
313
48,456
Qantas
Airways
Ltd.(a)
13,226
73,430
QBE
Insurance
Group
Ltd.
9,851
117,068
REA
Group
Ltd.
294
42,456
Reece
Ltd.
1,492
20,667
Scentre
Group
19,484
41,364
SGH
Ltd.
1,110
31,679
Sonic
Healthcare
Ltd.
3,420
57,175
South32
Ltd.
68,092
143,295
Stockland
16,645
49,452
Suncorp
Group
Ltd.
8,424
99,119
Telstra
Group
Ltd.
22,902
56,842
Transurban
Group
23,674
196,204
Vicinity
Ltd.
22,044
28,653
Wesfarmers
Ltd.
7,265
321,647
Westpac
Banking
Corp.
19,355
387,186
WiseTech
Global
Ltd.
1,061
79,501
Woolworths
Group
Ltd.
9,053
170,846
5,241,809
Austria
(
0
.3
%
)
ANDRITZ
AG
427
21,664
Erste
Group
Bank
AG
1,458
90,103
Mondi
plc
2,160
32,233
OMV
AG
2,095
81,032
Verbund
AG
647
46,914
voestalpine
AG
3,545
67,309
339,255
Belgium
(
0
.7
%
)
Ackermans
&
van
Haaren
NV
106
20,917
Ageas
SA/NV
180
8,745
Anheuser-Busch
InBev
SA/NV
5,261
262,944
Azelis
Group
NV
1,788
35,190
D'ieteren
Group
108
17,978
Elia
Group
SA/NV
271
20,885
Groupe
Bruxelles
Lambert
NV
1,015
69,444
KBC
Group
NV
821
63,391
Liberty
Global
Ltd.,
Class
A(a)
2,436
31,083
Shares
Value
Sofina
SA
49
$
11,085
Syensqo
SA
380
27,774
UCB
SA
625
124,432
Umicore
SA
6,192
63,851
757,719
Brazil
(
0
.0
%
)
(b)
Yara
International
ASA
1,045
27,614
Canada
(
9
.8
%
)
Agnico
Eagle
Mines
Ltd.
4,939
386,406
Alimentation
Couche-Tard,
Inc.(c)
6,207
344,236
AltaGas
Ltd.
3,100
72,203
Bank
of
Montreal(c)
4,192
406,966
Bank
of
Nova
Scotia
(The)(c)
7,555
405,698
Brookfield
Asset
Management
Ltd.,
Class
A
2,300
124,740
Brookfield
Corp.,
Class
A
7,668
440,732
CAE,
Inc.(a)(c)
2,964
75,262
Cameco
Corp.(c)
5,763
296,319
Canadian
Imperial
Bank
of
Commerce
5,923
374,676
Canadian
National
Railway
Co.
3,974
403,551
Canadian
Pacific
Kansas
City
Ltd.(c)
6,114
442,690
Canadian
Tire
Corp.
Ltd.,
Class
A
366
38,503
CCL
Industries,
Inc.,
Class
B
1,091
56,127
Celestica,
Inc.(a)
574
52,974
CGI,
Inc.
1,729
189,180
Constellation
Software,
Inc.
143
442,187
Descartes
Systems
Group,
Inc.
(The)(a)
332
37,740
Dollarama,
Inc.(c)
1,849
180,443
Element
Fleet
Management
Corp.
621
12,554
Emera,
Inc.(c)
612
22,876
Empire
Co.
Ltd.,
Class
A
1,468
44,823
FirstService
Corp.
57
10,325
Fortis,
Inc.
1,990
82,690
George
Weston
Ltd.
60
9,331
Gildan
Activewear,
Inc.
804
37,838
Great-West
Lifeco,
Inc.
1,804
59,826
Hydro
One
Ltd.(c)(d)
3,389
104,373
IGM
Financial,
Inc.
387
12,360
Intact
Financial
Corp.
1,104
201,016
Ivanhoe
Mines
Ltd.,
Class
A(a)(c)
6,312
74,912
Kinross
Gold
Corp.
12,600
117,020
Loblaw
Cos.
Ltd.
1,373
180,688
Magna
International,
Inc.
885
36,990
Manulife
Financial
Corp.
12,227
375,627
Metro,
Inc.,
Class
A
2,309
144,809
National
Bank
of
Canada(c)
1,546
140,936
Nutrien
Ltd.
3,157
141,263
Open
Text
Corp.
1,249
35,347
Power
Corp.
of
Canada(c)
4,424
138,003
RB
Global,
Inc.
1,251
112,912
Rogers
Communications,
Inc.,
Class
B
1,357
41,717
Royal
Bank
of
Canada
7,846
946,029
Saputo,
Inc.
1,578
27,433
Shopify,
Inc.,
Class
A(a)
7,335
780,549
Stantec,
Inc.
140
10,984
Sun
Life
Financial,
Inc.
3,731
221,532
Teck
Resources
Ltd.,
Class
B
6,274
254,373
TELUS
Corp.
3,399
46,086
TFI
International,
Inc.
666
89,995
Morgan
Stanley
ETF
Trust
Calvert
International
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Canada
(cont’d)
Thomson
Reuters
Corp.(c)
1,170
$
187,874
TMX
Group
Ltd.
1,754
54,031
Toromont
Industries
Ltd.
595
47,039
Toronto-Dominion
Bank
(The)
9,717
517,334
West
Fraser
Timber
Co.
Ltd.
605
52,421
WSP
Global,
Inc.
892
156,973
10,301,522
Chile
(
0
.2
%
)
Antofagasta
plc
4,995
99,427
Lundin
Mining
Corp.(c)
11,247
96,786
196,213
China
(
0
.9
%
)
BOC
Hong
Kong
Holdings
Ltd.
24,500
78,705
ESR
Group
Ltd.(d)
42,200
64,876
Lenovo
Group
Ltd.
58,000
75,276
NXP
Semiconductors
NV
1,352
281,013
Prosus
NV
8,496
337,502
Wharf
Holdings
Ltd.
(The)
22,000
61,893
899,265
Denmark
(
2
.3
%
)
AP
Moller
-
Maersk
A/S,
Class
B
25
41,341
Carlsberg
A/S,
Class
B
362
34,696
Coloplast
A/S,
Class
B(c)
673
73,496
Danske
Bank
A/S
3,695
104,549
Demant
A/S(a)
655
24,038
DSV
A/S
874
185,624
Genmab
A/S(a)
413
85,621
Jyske
Bank
A/S
161
11,405
Novo
Nordisk
A/S,
Class
B
16,712
1,448,999
Novonesis
(Novozymes)
B,
Class
B
2,407
136,311
Pandora
A/S
574
105,006
ROCKWOOL
A/S,
Class
B
149
52,818
Tryg
A/S
334
7,029
Vestas
Wind
Systems
A/S(a)
3,535
48,160
Zealand
Pharma
A/S,
Class
A(a)
237
23,554
2,382,647
Finland
(
0
.8
%
)
Elisa
OYJ
822
35,591
Fortum
OYJ
2,419
33,865
Kesko
OYJ,
Class
B
2,123
39,980
Kone
OYJ,
Class
B
1,634
79,551
Metso
OYJ
2,906
27,031
Neste
OYJ
2,015
25,308
Nokia
OYJ
35,311
156,348
Nordea
Bank
Abp
14,705
159,891
Orion
OYJ,
Class
B
675
29,912
Sampo
OYJ,
Class
A
1,025
41,812
Stora
Enso
OYJ,
Class
R
6,971
70,173
UPM-Kymmene
OYJ
3,107
85,480
Valmet
OYJ
1,749
42,267
Wartsila
OYJ
Abp
725
12,849
840,058
France
(
7
.0
%
)
Accor
SA
1,121
54,622
Air
Liquide
SA
3,492
567,609
Alstom
SA(a)
1,294
28,899
Shares
Value
Amundi
SA(d)
124
$
8,246
Arkema
SA
627
47,769
AXA
SA
10,501
373,314
BioMerieux
234
25,087
BNP
Paribas
SA
5,535
339,534
Bouygues
SA
2,462
72,785
Bureau
Veritas
SA
1,907
57,957
Canal+
SADIR(a)
3,038
7,721
Capgemini
SE
744
121,882
Carrefour
SA(c)
2,651
37,703
Cie
de
Saint-Gobain
SA
4,631
411,105
Cie
Generale
des
Etablissements
Michelin
SCA(c)
3,901
128,499
Covivio
SA
545
27,527
Credit
Agricole
SA
5,992
82,489
Danone
SA
4,378
295,316
Dassault
Systemes
SE
3,703
128,498
Eiffage
SA
479
42,036
Elis
SA
1,242
24,315
Engie
SA
10,821
171,609
EssilorLuxottica
SA
1,693
413,170
Eurazeo
SE
231
17,216
Gecina
SA
271
25,391
Getlink
SE
2,532
40,404
Hermes
International
SCA
193
464,212
Ipsen
SA
196
22,475
Kering
SA
484
119,447
Legrand
SA
1,526
148,650
L'Oreal
SA
1,268
449,006
Louis
Hachette
Group(a)
3,038
4,752
LVMH
Moet
Hennessy
Louis
Vuitton
SE
1,277
840,627
Neoen
SA(d)
342
14,071
Nexans
SA
230
24,825
Orange
SA(c)
10,333
103,053
Pernod
Ricard
SA
932
105,230
Publicis
Groupe
SA
1,464
156,198
Renault
SA
1,139
55,511
Rexel
SA
1,509
38,452
Safran
SA
2,022
444,241
Sartorius
Stedim
Biotech
112
21,892
SCOR
SE
1,338
32,764
SEB
SA
255
23,112
Societe
Generale
SA
2,767
77,846
Sodexo
SA
575
47,381
Sopra
Steria
Group
126
22,318
Teleperformance
SE
170
14,637
Thales
SA
587
84,305
Unibail-Rodamco-Westfield
437
32,918
Veolia
Environnement
SA
4,168
117,045
Verallia
SA(d)
899
22,610
Vinci
SA
2,986
308,501
Vivendi
SE
3,038
8,097
7,354,879
Germany
(
7
.1
%
)
adidas
AG
912
223,704
Allianz
SE
2,111
647,038
Bayerische
Motoren
Werke
AG
1,797
147,015
Bechtle
AG(c)
785
25,289
Beiersdorf
AG
475
61,011
Morgan
Stanley
ETF
Trust
Calvert
International
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Germany
(cont’d)
BioNTech
SE
ADR(a)
452
$
51,505
Brenntag
SE
955
57,257
Carl
Zeiss
Meditec
AG
429
20,228
Commerzbank
AG(c)
6,967
113,484
Continental
AG
688
46,195
Covestro
AG(a)
1,870
112,348
CTS
Eventim
AG
&
Co.
KGaA(c)
599
50,662
Daimler
Truck
Holding
AG
2,751
105,009
Deutsche
Boerse
AG
994
228,991
Deutsche
Post
AG
5,666
199,433
Deutsche
Telekom
AG
17,531
524,628
E.ON
SE
9,231
107,524
Evonik
Industries
AG
3,106
53,826
GEA
Group
AG
1,075
53,249
Hannover
Rueck
SE
325
81,268
HeidelbergCement
AG
1,958
241,964
Henkel
AG
&
Co.
KGaA
1,094
84,311
Infineon
Technologies
AG
8,183
266,158
KION
Group
AG
861
28,415
Knorr-Bremse
AG
423
30,825
LEG
Immobilien
SE
352
29,826
Mercedes-Benz
Group
AG
4,793
267,108
Merck
KGaA
532
77,095
MTU
Aero
Engines
AG
330
110,069
Muenchener
Rueckversicherungs-Gesellschaft
AG
762
384,477
Nemetschek
SE
594
57,592
Puma
SE
124
5,698
SAP
SE
5,970
1,461,285
Scout24
SE(d)
421
37,111
Siemens
AG
4,468
872,689
Siemens
Energy
AG(a)
2,913
152,018
Siemens
Healthineers
AG(d)
1,696
89,948
Symrise
AG,
Class
A
632
67,200
Talanx
AG
304
25,869
Volkswagen
AG
961
91,731
Vonovia
SE
3,794
115,228
Zalando
SE(a)(d)
1,740
58,379
7,464,660
Hong
Kong
(
1
.2
%
)
AIA
Group
Ltd.
54,600
395,792
CK
Infrastructure
Holdings
Ltd.
500
3,718
CLP
Holdings
Ltd.
9,000
75,670
Hang
Seng
Bank
Ltd.
7,800
95,960
Hong
Kong
Exchanges
&
Clearing
Ltd.
7,600
288,474
Hongkong
Land
Holdings
Ltd.
1,900
8,455
Link
REIT
19,000
80,363
Prudential
plc
8,567
68,318
Sino
Land
Co.
Ltd.
44,000
44,472
Sun
Hung
Kai
Properties
Ltd.
6,000
57,670
Swire
Pacific
Ltd.,
Class
A
2,500
22,677
Techtronic
Industries
Co.
Ltd.
6,500
85,784
WH
Group
Ltd.(d)
44,000
34,048
Wharf
Real
Estate
Investment
Co.
Ltd.
19,000
48,585
1,309,986
Ireland
(
0
.6
%
)
AerCap
Holdings
NV
1,203
115,127
Shares
Value
AIB
Group
plc
7,791
$
43,015
Bank
of
Ireland
Group
plc
4,744
43,273
Glanbia
plc
4,563
63,006
Kerry
Group
plc,
Class
A
1,358
131,173
Kingspan
Group
plc
3,028
220,970
616,564
Israel
(
0
.5
%
)
Bank
Hapoalim
BM
6,662
80,666
Check
Point
Software
Technologies
Ltd.(a)
839
156,641
Mizrahi
Tefahot
Bank
Ltd.
741
32,123
Nice
Ltd.
ADR(a)
505
85,769
Nova
Ltd.(a)
145
28,558
Wix.com
Ltd.(a)
426
91,398
475,155
Italy
(
2
.1
%
)
A2A
SpA
11,830
26,285
Amplifon
SpA
863
22,214
Banca
Monte
dei
Paschi
di
Siena
SpA
5,533
39,008
Banco
BPM
SpA
3,600
29,131
Coca-Cola
HBC
AG
1,283
43,881
Enel
SpA
53,685
382,928
FinecoBank
Banca
Fineco
SpA
3,242
56,385
Generali
7,036
198,750
Hera
SpA
6,143
21,839
Infrastrutture
Wireless
Italiane
SpA(d)
2,149
21,849
Interpump
Group
SpA
1,134
50,111
Intesa
Sanpaolo
SpA
98,368
393,618
Mediobanca
Banca
di
Credito
Finanziario
SpA
2,258
32,921
Moncler
SpA
1,250
66,009
Nexi
SpA(a)(c)(d)
3,234
17,956
Poste
Italiane
SpA(d)
2,962
41,789
PRADA
SpA
6,000
46,468
Prysmian
SpA
1,885
120,396
Recordati
Industria
Chimica
e
Farmaceutica
SpA
687
36,008
Reply
SpA
153
24,312
Snam
SpA
15,654
69,352
Telecom
Italia
SpA(a)(c)
113,224
28,922
Terna
-
Rete
Elettrica
Nazionale
10,723
84,638
UniCredit
SpA
9,873
393,993
2,248,763
Japan
(
17
.2
%
)
Advantest
Corp.
5,200
303,979
Aeon
Co.
Ltd.
4,400
103,327
AGC,
Inc.(c)
3,600
105,818
Aisin
Corp.
5,000
56,484
Ajinomoto
Co.,
Inc.
3,800
155,821
ANA
Holdings,
Inc.
1,900
34,602
Asahi
Group
Holdings
Ltd.
11,300
119,000
Asics
Corp.
2,400
47,437
Astellas
Pharma,
Inc.
7,900
77,044
Bandai
Namco
Holdings,
Inc.
2,500
60,043
Bridgestone
Corp.(c)
2,900
98,421
Canon,
Inc.(c)
6,300
206,643
Capcom
Co.
Ltd.
1,600
35,326
Central
Japan
Railway
Co.
2,100
39,572
Chugai
Pharmaceutical
Co.
Ltd.
4,700
209,065
Dai
Nippon
Printing
Co.
Ltd.
4,900
69,119
Morgan
Stanley
ETF
Trust
Calvert
International
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Japan
(cont’d)
Daifuku
Co.
Ltd.
1,700
$
35,654
Dai-ichi
Life
Holdings,
Inc.
3,200
86,129
Daiichi
Sankyo
Co.
Ltd.
10,300
284,887
Daikin
Industries
Ltd.
1,200
142,312
Daito
Trust
Construction
Co.
Ltd.
100
11,170
Daiwa
House
Industry
Co.
Ltd.
4,500
138,937
Daiwa
Securities
Group,
Inc.
13,800
91,915
Denso
Corp.
8,000
112,593
Dentsu
Group,
Inc.(c)
1,800
43,609
Disco
Corp.
500
135,784
East
Japan
Railway
Co.
4,600
81,712
Ebara
Corp.(c)
2,000
31,275
FANUC
Corp.
4,600
122,057
Fast
Retailing
Co.
Ltd.
900
307,846
Fuji
Electric
Co.
Ltd.
1,700
92,463
FUJIFILM
Holdings
Corp.
7,200
151,418
Fujitsu
Ltd.
8,500
151,233
Hankyu
Hanshin
Holdings,
Inc.
1,800
47,098
Hoya
Corp.
2,000
251,867
Hulic
Co.
Ltd.(c)
6,300
54,854
Isuzu
Motors
Ltd.
7,000
96,028
ITOCHU
Corp.
5,700
283,723
Japan
Airlines
Co.
Ltd.
1,700
26,930
Japan
Exchange
Group,
Inc.
3,100
34,872
Japan
Post
Bank
Co.
Ltd.
5,700
54,140
Kao
Corp.(c)
2,700
109,617
Kawasaki
Heavy
Industries
Ltd.
700
32,387
KDDI
Corp.
9,400
301,216
Keisei
Electric
Railway
Co.
Ltd.
2,700
24,341
Keyence
Corp.
1,200
492,904
Kikkoman
Corp.
9,300
104,174
Kirin
Holdings
Co.
Ltd.(c)
2,700
35,160
Komatsu
Ltd.
5,600
154,819
Kubota
Corp.(c)
6,200
72,464
Kyocera
Corp.
8,600
86,112
Kyowa
Kirin
Co.
Ltd.
1,800
27,175
LY
Corp.
29,200
77,832
M3,
Inc.
3,000
26,636
Makita
Corp.
1,700
52,325
Marubeni
Corp.
5,500
83,630
MEIJI
Holdings
Co.
Ltd.
1,500
30,516
MinebeaMitsumi,
Inc.
3,400
55,523
Mitsubishi
Chemical
Group
Corp.
14,100
71,663
Mitsubishi
Electric
Corp.
13,900
237,372
Mitsubishi
Estate
Co.
Ltd.
8,900
124,468
Mitsubishi
HC
Capital,
Inc.
12,500
82,780
Mitsubishi
Heavy
Industries
Ltd.
18,400
259,959
Mitsubishi
UFJ
Financial
Group,
Inc.
65,000
762,592
Mitsui
Fudosan
Co.
Ltd.
19,000
153,357
Mizuho
Financial
Group,
Inc.
14,800
364,298
MS&AD
Insurance
Group
Holdings,
Inc.
9,000
197,280
Murata
Manufacturing
Co.
Ltd.
11,200
182,188
NEC
Corp.
900
78,477
Nidec
Corp.
4,700
85,281
Nintendo
Co.
Ltd.
5,600
329,711
Nippon
Paint
Holdings
Co.
Ltd.
7,300
47,485
Nippon
Telegraph
&
Telephone
Corp.
131,600
132,148
Nissin
Foods
Holdings
Co.
Ltd.
1,100
26,727
Shares
Value
Nitori
Holdings
Co.
Ltd.
100
$
11,843
Nitto
Denko
Corp.
3,300
56,208
Nomura
Holdings,
Inc.
24,900
147,379
Nomura
Research
Institute
Ltd.
2,000
59,220
NTT
Data
Group
Corp.
2,500
48,143
Obayashi
Corp.
3,000
39,906
Olympus
Corp.
8,800
132,578
Omron
Corp.
1,100
37,423
Oracle
Corp.
Japan
100
9,632
Oriental
Land
Co.
Ltd.
4,100
89,168
ORIX
Corp.
7,300
158,114
Osaka
Gas
Co.
Ltd.
3,400
74,766
Otsuka
Corp.
3,400
77,985
Otsuka
Holdings
Co.
Ltd.(c)
2,200
120,245
Panasonic
Holdings
Corp.
11,100
115,907
Rakuten
Group,
Inc.(a)
5,900
32,206
Recruit
Holdings
Co.
Ltd.
9,400
665,817
Renesas
Electronics
Corp.(a)
10,500
136,568
Resona
Holdings,
Inc.
16,000
116,381
SCREEN
Holdings
Co.
Ltd.
200
12,063
Secom
Co.
Ltd.
1,500
51,184
Sekisui
Chemical
Co.
Ltd.
4,500
77,648
Sekisui
House
Ltd.
5,400
129,796
Shin-Etsu
Chemical
Co.
Ltd.
10,700
360,146
Shionogi
&
Co.
Ltd.
3,600
50,770
SMC
Corp.
300
118,555
SoftBank
Corp.
195,200
246,753
SoftBank
Group
Corp.
6,100
356,087
Sompo
Holdings,
Inc.
5,400
141,362
Sony
Group
Corp.
37,500
802,933
Sumitomo
Electric
Industries
Ltd.
7,000
126,947
Sumitomo
Mitsui
Financial
Group,
Inc.
22,700
543,028
Sumitomo
Mitsui
Trust
Group,
Inc.
3,400
79,779
Suntory
Beverage
&
Food
Ltd.(c)
1,700
54,162
Sysmex
Corp.
2,600
48,193
T&D
Holdings,
Inc.
2,700
49,858
Takeda
Pharmaceutical
Co.
Ltd.
10,000
265,722
TDK
Corp.
10,800
142,254
Terumo
Corp.
7,800
151,791
Toho
Co.
Ltd.
300
11,734
Tokio
Marine
Holdings,
Inc.
10,300
374,962
Tokyo
Electron
Ltd.
2,400
368,896
Tokyo
Gas
Co.
Ltd.
3,500
97,207
Tokyu
Corp.
3,500
37,548
TOPPAN
Holdings,
Inc.
2,700
72,225
Toray
Industries,
Inc.
14,300
91,019
Toyota
Industries
Corp.
800
65,410
Toyota
Motor
Corp.
59,200
1,183,661
Trend
Micro,
Inc.(a)
1,300
70,781
Unicharm
Corp.
3,000
24,834
West
Japan
Railway
Co.
3,400
60,439
Yamaha
Motor
Co.
Ltd.(c)
6,300
56,235
Yaskawa
Electric
Corp.
900
23,263
ZOZO,
Inc.
1,300
40,460
18,012,018
Jordan
(
0
.0
%
)
(b)
Hikma
Pharmaceuticals
plc
1,287
32,111
Morgan
Stanley
ETF
Trust
Calvert
International
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Luxembourg
(
0
.1
%
)
Eurofins
Scientific
SE
1,532
$
78,251
Netherlands
(
3
.2
%
)
Aalberts
NV
1,336
47,523
ABN
AMRO
Bank
NV
CVA(d)
2,308
35,598
Adyen
NV(a)(d)
135
200,950
Aegon
Ltd.
6,100
36,143
Akzo
Nobel
NV
788
47,310
Argenx
SE(a)
316
196,397
ASM
International
NV
268
155,127
ASML
Holding
NV
2,120
1,490,427
ASR
Nederland
NV
216
10,243
BE
Semiconductor
Industries
NV
453
62,081
Euronext
NV(d)
471
52,838
Havas
NV(a)
3,038
5,106
IMCD
NV
345
51,282
ING
Groep
NV
15,368
240,854
JDE
Peet's
NV
1,002
17,157
Koninklijke
Ahold
Delhaize
NV
6,728
219,460
Koninklijke
KPN
NV
22,838
83,153
Koninklijke
Vopak
NV
1,003
44,156
NN
Group
NV
490
21,353
Universal
Music
Group
NV
5,139
131,590
Wolters
Kluwer
NV
1,566
260,191
3,408,939
New
Zealand
(
0
.2
%
)
Auckland
International
Airport
Ltd.
10,082
49,076
Fisher
&
Paykel
Healthcare
Corp.
Ltd.
1,463
31,432
Meridian
Energy
Ltd.
6,375
21,080
Xero
Ltd.(a)
600
62,598
164,186
Norway
(
0
.6
%
)
DNB
Bank
ASA
5,111
101,875
Gjensidige
Forsikring
ASA
1,538
27,157
Kongsberg
Gruppen
ASA
792
89,056
Mowi
ASA
4,649
79,536
Norsk
Hydro
ASA
19,064
104,737
Orkla
ASA
8,633
74,587
Salmar
ASA
708
33,617
Schibsted
ASA,
Class
A
1,341
41,467
Telenor
ASA
5,736
63,944
615,976
Portugal
(
0
.1
%
)
EDP
SA
15,680
50,205
Jeronimo
Martins
SGPS
SA
2,254
43,077
93,282
Singapore
(
1
.3
%
)
DBS
Group
Holdings
Ltd.
11,250
360,158
Grab
Holdings
Ltd.,
Class
A(a)
9,111
43,004
Oversea-Chinese
Banking
Corp.
Ltd.
18,900
230,982
Sea
Ltd.
ADR(a)
1,562
165,728
Singapore
Airlines
Ltd.
14,000
66,020
Singapore
Exchange
Ltd.
5,700
53,175
Singapore
Technologies
Engineering
Ltd.
13,600
46,407
Singapore
Telecommunications
Ltd.
55,900
126,073
STMicroelectronics
NV
3,079
76,794
Shares
Value
United
Overseas
Bank
Ltd.
7,600
$
202,181
1,370,522
South
Africa
(
0
.4
%
)
Anglo
American
plc
12,726
376,625
South
Korea
(
3
.0
%
)
Delivery
Hero
SE(a)(d)
1,080
30,340
Doosan
Enerbility
Co.
Ltd.(a)
5,110
60,918
Hana
Financial
Group,
Inc.
2,395
92,406
HD
Hyundai
Electric
Co.
Ltd.
131
33,992
HMM
Co.
Ltd.(a)
2,499
29,978
Hyundai
Mobis
Co.
Ltd.
647
103,940
Hyundai
Motor
Co.
860
123,846
Kakao
Corp.
1,260
32,695
KB
Financial
Group,
Inc.
2,137
120,339
Kia
Corp.
1,694
115,875
Krafton,
Inc.(a)
207
43,941
LG
Chem
Ltd.(a)
596
101,213
LG
Electronics,
Inc.
724
41,065
LG
Energy
Solution
Ltd.(a)
439
103,775
Meritz
Financial
Group,
Inc.(a)
518
36,594
NAVER
Corp.(a)
961
129,839
POSCO
Holdings,
Inc.
780
134,314
Samsung
Biologics
Co.
Ltd.(a)(d)
85
54,794
Samsung
C&T
Corp.(a)
442
34,468
Samsung
Electro-Mechanics
Co.
Ltd.(a)
375
31,536
Samsung
Electronics
Co.
Ltd.
31,594
1,141,732
Samsung
Heavy
Industries
Co.
Ltd.(a)
4,210
32,315
Samsung
Life
Insurance
Co.
Ltd.(a)
437
28,141
Samsung
SDS
Co.
Ltd.(a)
246
21,356
Shinhan
Financial
Group
Co.
Ltd.
2,964
95,938
SK
Hynix,
Inc.
3,188
376,587
SK
Square
Co.
Ltd.(a)
434
23,378
3,175,315
Spain
(
2
.1
%
)
Aena
SME
SA(d)
456
93,241
Amadeus
IT
Group
SA(c)
2,377
167,923
Banco
Bilbao
Vizcaya
Argentaria
SA
27,484
269,092
Banco
de
Sabadell
SA
12,443
24,193
Banco
Santander
SA
82,643
382,187
Bankinter
SA
6,449
51,037
CaixaBank
SA
21,600
117,152
Cellnex
Telecom
SA(d)
2,956
93,421
Grifols
SA(a)(c)
2,543
24,097
Iberdrola
SA
34,714
478,248
Industria
de
Diseno
Textil
SA
5,649
290,469
Naturgy
Energy
Group
SA
1,104
26,737
Redeia
Corp.
SA
2,414
41,259
Telefonica
SA(c)
29,274
119,384
2,178,440
Sweden
(
2
.6
%
)
AddTech
AB,
Class
B
1,188
32,342
Alfa
Laval
AB
1,694
70,829
Assa
Abloy
AB,
Class
B
5,767
170,344
Atlas
Copco
AB,
Class
A
22,558
344,267
Beijer
Ref
AB,
Class
B(c)
3,075
45,331
Boliden
AB
3,861
108,357
Castellum
AB(a)
4,475
48,759
Morgan
Stanley
ETF
Trust
Calvert
International
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Sweden
(cont’d)
Epiroc
AB,
Class
A
5,585
$
97,199
EQT
AB(c)
2,192
60,645
Essity
AB,
Class
B
3,099
82,826
H
&
M
Hennes
&
Mauritz
AB,
Class
B(c)
3,517
47,396
Hexagon
AB,
Class
B
12,888
123,011
Holmen
AB,
Class
B
632
23,203
Husqvarna
AB,
Class
B(c)
2,620
13,673
Industrivarden
AB,
Class
A
1,494
47,181
Indutrade
AB
1,593
39,883
Investment
AB
Latour,
Class
B
406
10,124
Investor
AB,
Class
B
10,626
281,117
L
E
Lundbergforetagen
AB,
Class
B
461
20,875
Lifco
AB,
Class
B
1,302
37,728
Nibe
Industrier
AB,
Class
B(c)
14,472
56,560
Saab
AB,
Class
B
1,315
27,777
Sagax
AB,
Class
B
1,157
23,655
Sandvik
AB
6,226
111,590
Skandinaviska
Enskilda
Banken
AB,
Class
A
8,284
113,397
Skanska
AB,
Class
B
1,491
31,359
SKF
AB,
Class
B
2,313
43,401
SSAB
AB,
Class
A
14,335
58,266
Svenska
Cellulosa
AB
SCA,
Class
B
4,286
54,409
Svenska
Handelsbanken
AB,
Class
A
5,965
61,570
Sweco
AB,
Class
B
727
10,822
Swedbank
AB,
Class
A
4,886
96,405
Swedish
Orphan
Biovitrum
AB(a)
1,094
31,385
Tele2
AB,
Class
B
1,354
13,370
Telia
Co.
AB
10,389
28,799
Trelleborg
AB,
Class
B
1,361
46,573
Volvo
AB,
Class
B
10,044
243,841
2,758,269
Switzerland
(
5
.2
%
)
ABB
Ltd.
8,958
484,347
Adecco
Group
AG
1,267
31,216
Avolta
AG
323
12,934
Bachem
Holding
AG(c)
182
11,611
Baloise
Holding
AG
493
89,143
Barry
Callebaut
AG(c)
5
6,633
Belimo
Holding
AG
119
78,608
BKW
AG
136
22,508
Chocoladefabriken
Lindt
&
Spruengli
AG
1
110,187
Cie
Financiere
Richemont
SA
2,446
371,664
DSM-Firmenich
AG
833
84,319
Emmi
AG
2
1,622
Flughafen
Zurich
AG
188
45,076
Geberit
AG
352
199,591
Georg
Fischer
AG
944
71,407
Givaudan
SA
42
183,540
Helvetia
Holding
AG
191
31,442
Julius
Baer
Group
Ltd.
1,039
67,156
Kuehne
+
Nagel
International
AG
268
61,363
Logitech
International
SA
630
52,091
Lonza
Group
AG
381
224,935
Novartis
AG
10,136
990,649
On
Holding
AG,
Class
A(a)
1,394
76,349
Partners
Group
Holding
AG
96
130,109
PSP
Swiss
Property
AG
301
42,751
Schindler
Holding
AG
343
93,540
Shares
Value
SFS
Group
AG
78
$
10,795
SGS
SA
987
98,836
Sika
AG
799
189,989
Sonova
Holding
AG
266
86,845
Straumann
Holding
AG
406
51,111
Swatch
Group
AG
(The),
Class
BR
182
33,089
Swiss
Life
Holding
AG
133
102,525
Swiss
Prime
Site
AG
508
55,303
Swisscom
AG
132
73,378
TE
Connectivity
plc
1,909
272,930
Temenos
AG
528
37,292
UBS
Group
AG
14,106
431,006
VAT
Group
AG(d)
173
65,346
Zurich
Insurance
Group
AG
684
406,081
5,489,317
Taiwan
(
6
.5
%
)
Accton
Technology
Corp.
3,000
70,735
Advantech
Co.
Ltd.
1,099
11,615
ASE
Technology
Holding
Co.
Ltd.
20,000
98,827
Cathay
Financial
Holding
Co.
Ltd.
69,000
143,748
Chang
Hwa
Commercial
Bank
Ltd.
65,712
35,778
Chunghwa
Telecom
Co.
Ltd.
20,000
75,340
CTBC
Financial
Holding
Co.
Ltd.
99,000
118,071
Delta
Electronics,
Inc.
9,000
118,181
E
Ink
Holdings,
Inc.
5,000
41,636
E.Sun
Financial
Holding
Co.
Ltd.
28,000
23,017
Eva
Airways
Corp.
45,000
60,875
Evergreen
Marine
Corp.
Taiwan
Ltd.
10,000
68,630
Far
EasTone
Telecommunications
Co.
Ltd.
21,000
57,265
Fubon
Financial
Holding
Co.
Ltd.
64,470
177,573
Gigabyte
Technology
Co.
Ltd.
3,000
24,936
Global
Unichip
Corp.
1,000
41,483
Hotai
Motor
Co.
Ltd.
1,020
19,258
Inventec
Corp.
18,000
27,507
Lite-On
Technology
Corp.
12,000
36,420
MediaTek,
Inc.
8,000
345,285
Mega
Financial
Holding
Co.
Ltd.
77,819
91,860
Nanya
Technology
Corp.(a)
60,000
53,531
Novatek
Microelectronics
Corp.
2,000
30,624
Quanta
Computer,
Inc.
20,000
175,083
Realtek
Semiconductor
Corp.
1,000
17,325
Taishin
Financial
Holding
Co.
Ltd.
93,045
49,383
Taiwan
Mobile
Co.
Ltd.
18,000
62,316
Taiwan
Semiconductor
Manufacturing
Co.
Ltd.
126,000
4,131,526
TCC
Group
Holdings
Co.
Ltd.
128,000
123,766
Unimicron
Technology
Corp.
15,000
64,512
Uni-President
Enterprises
Corp.
48,000
118,446
United
Microelectronics
Corp.
94,000
123,433
Wan
Hai
Lines
Ltd.
28,000
69,264
Yang
Ming
Marine
Transport
Corp.
26,000
60,034
Yuanta
Financial
Holding
Co.
Ltd.
90,291
93,639
6,860,922
United
Kingdom
(
10
.3
%
)
3i
Group
plc
5,389
240,445
Admiral
Group
plc
1,110
36,741
Ashtead
Group
plc
3,182
197,783
Associated
British
Foods
plc
2,874
73,506
AstraZeneca
plc
8,431
1,104,873
Morgan
Stanley
ETF
Trust
Calvert
International
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
United
Kingdom
(cont’d)
Auto
Trader
Group
plc(d)
6,284
$
62,385
Aviva
plc
16,625
97,571
B&M
European
Value
Retail
SA
6,169
28,343
BAE
Systems
plc
22,676
326,037
Barclays
plc
68,887
231,252
Barratt
Redrow
plc
7,217
39,763
Beazley
plc
1,624
16,600
Berkeley
Group
Holdings
plc
754
36,813
British
Land
Co.
plc
(The)
5,058
22,821
BT
Group
plc
47,052
84,852
Bunzl
plc
2,202
90,860
Centrica
plc
19,171
32,064
Coca-Cola
Europacific
Partners
plc
1,828
140,409
Compass
Group
plc
13,477
449,129
ConvaTec
Group
plc(d)
11,770
32,593
Croda
International
plc
838
35,512
DCC
plc
1,426
91,760
Diageo
plc
14,834
471,231
Diploma
plc
689
36,659
DS
Smith
plc
9,036
61,312
Halma
plc
4,053
136,439
Hargreaves
Lansdown
plc
2,115
29,072
Howden
Joinery
Group
plc
3,566
35,424
HSBC
Holdings
plc
100,922
992,181
IMI
plc
554
12,630
Informa
plc
11,512
115,064
InterContinental
Hotels
Group
plc
1,336
166,484
Intermediate
Capital
Group
plc
1,795
46,426
International
Consolidated
Airlines
Group
SA
6,943
26,241
Intertek
Group
plc
1,282
75,881
Investec
plc
3,637
24,769
J
Sainsbury
plc
13,319
45,620
JD
Sports
Fashion
plc
10,207
12,254
Kingfisher
plc
14,759
45,952
Land
Securities
Group
plc
3,788
27,694
Legal
&
General
Group
plc
37,823
108,812
Lloyds
Banking
Group
plc
397,284
272,454
London
Stock
Exchange
Group
plc
2,408
340,195
LondonMetric
Property
plc
11,271
25,412
M&G
plc
16,635
41,203
Marks
&
Spencer
Group
plc
7,566
35,567
Melrose
Industries
plc
9,771
67,743
National
Grid
plc
28,932
344,090
NatWest
Group
plc
30,800
155,044
Next
plc
852
101,307
Pearson
plc
3,433
55,097
Persimmon
plc
1,634
24,506
Phoenix
Group
Holdings
plc
9,787
62,487
Reckitt
Benckiser
Group
plc
3,324
201,116
RELX
plc
13,454
611,235
Rentokil
Initial
plc
14,261
71,556
Rightmove
plc
5,122
41,154
Sage
Group
plc
(The)
6,967
111,031
Schroders
plc
10,390
42,091
Segro
plc
8,279
72,676
Severn
Trent
plc
1,787
56,108
Smith
&
Nephew
plc
6,154
76,379
Smiths
Group
plc
2,613
56,232
Shares
Value
Spirax
Group
plc
770
$
66,080
SSE
plc
6,717
134,881
Standard
Chartered
plc
12,794
158,342
Subsea
7
SA
2,084
32,972
Taylor
Wimpey
plc
20,025
30,610
Tesco
plc
55,866
257,584
Tritax
Big
Box
REIT
plc
14,129
23,472
Unilever
plc
14,161
806,277
UNITE
Group
plc
(The)
2,460
24,838
United
Utilities
Group
plc
5,131
67,543
Vodafone
Group
plc
132,741
113,500
Weir
Group
plc
(The)
1,891
51,703
Whitbread
plc
1,522
56,133
Wise
plc,
Class
A(a)
6,015
80,272
WPP
plc
8,644
89,536
10,800,683
United
States
(
8
.3
%
)
Alcon
AG
2,667
225,985
BP
plc
105,148
517,325
Chubb
Ltd.
1,680
464,184
CSL
Ltd.
3,226
562,240
CyberArk
Software
Ltd.(a)
371
123,599
Experian
plc
5,456
235,306
Ferrovial
SE
2,967
124,779
Flex
Ltd.(a)
2,959
113,596
Garmin
Ltd.
762
157,170
GFL
Environmental,
Inc.(c)
1,487
66,289
GSK
plc
24,475
412,571
Haleon
plc
36,684
173,320
Holcim
AG
3,893
374,737
ICON
plc(a)
575
120,583
James
Hardie
Industries
plc
CDI(a)
7,244
224,497
Monday.com
Ltd.(a)
321
75,576
Nestle
SA
14,391
1,187,370
QIAGEN
NV(a)
1,322
58,869
Roche
Holding
AG
3,666
1,032,079
Sanofi
SA
6,763
656,691
Schneider
Electric
SE
3,201
798,766
Spotify
Technology
SA(a)
722
323,008
Stellantis
NV
9,555
124,610
Swiss
Re
AG
1,373
198,488
Waste
Connections,
Inc.
1,826
313,257
8,664,895
Total
Common
Stocks
(Cost
$96,236,973)
104,535,860
No.
of
Warrants
Warrants
(0.0%)(b)
Canada
(
0.0%
)(b)
Constellation
Software,
Inc.
Expires
03/31/2040
(a)
(
Cost
$0
)
97
Morgan
Stanley
ETF
Trust
Calvert
International
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Short-Term
Investments
(
2
.3
%
)
Investment
Company
(0.1%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(e)
(Cost
$104,434)
104,434
$
104,434
Security
held
as
Collateral
on
Loaned
Securities
(
2
.2
%
)
Investment
Company
(2.2%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(e)
(Cost
$2,349,974)
2,349,974
2,349,974
Total
Short-Term
Investments
(Cost
$2,454,408)
2,454,408
Total
Investments
(
101
.9
%
)
(Cost
$
98,691,381
)
(f)
106,990,268
Liabilities
in
Excess
of
Other
Assets
(
-1.9%
)
(2,039,614)
NET
ASSETS
(100.0%)
$104,950,654
The
country
classifications
used
for
financial
reporting
purposes
may
differ
from
the
classifications
determined
by
Calvert
Research
and
Management.
(a)
Non-income
producing
security.
(b)
Amount
is
less
than
0.05%.
(c)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$4,187,116
and
$4,433,747,
respectively.
The
Fund
received
cash
collateral
of
$2,349,974,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$2,083,773
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(d)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(e)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$60
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(f)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$98,691,381.
The
aggregate
gross
unrealized
appreciation
is
$14,126,616
and
the
aggregate
gross
unrealized
depreciation
is
$5,827,729,
resulting
in
net
unrealized
appreciation
of
$8,298,887.
ADR
American
Depositary
Receipt
CDI
CREST
Depository
Interest
CVA
Dutch
Certification
REIT
Real
Estate
Investment
Trust
Portfolio
Composition
*
Classification  
Percentage
of
Total
Investments
Other**
65
.6
%
Banks
13
.2
Semiconductors
&
Semiconductor
Equipment
8
.2
Pharmaceuticals
6
.7
Insurance
6
.3
Total
Investments
100
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Calvert
Ultra-Short
Investment
Grade
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Face
Amount
Value
Fixed
Income
Securities
(93.9%)
Asset-Backed
Securities
(
17
.4
%
)
Ally
Bank
Auto
Credit-Linked
Notes,
2024-A
5.83%,
5/17/32(a)
$
469,558
$
475,239
2024-B
5.12%,
9/15/32(a)
443,088
443,675
Amur
Equipment
Finance
Receivables
XII
LLC,
2023-1A
6.09%,
12/20/29(a)
139,268
141,180
Auxilior
Term
Funding
LLC,
2024-1A
5.84%,
3/15/27(a)
208,000
209,618
BHG
Securitization
Trust,
2022-C
5.93%,
10/17/35(a)
875,000
878,473
Blue
Owl
Asset
Leasing
Trust
LLC,
2024-1A
5.05%,
3/15/29(a)
2,500,000
2,506,417
Chesapeake
Funding
II
LLC,
2024-1A
SOFR30A
+
0.77%,
5.37%,
5/15/36(a)(b)
178,911
179,346
Clarus
Capital
Funding
LLC,
2024-1A
4.71%,
8/20/32(a)
255,000
254,212
Crossroads
Asset
Trust,
2024-A
5.90%,
8/20/30(a)
992,576
1,005,231
DB
Master
Finance
LLC,
2019-1A
4.02%,
5/20/49(a)
135,493
133,644
2021-1A
2.05%,
11/20/51(a)
446,200
422,749
Dell
Equipment
Finance
Trust,
2023-2
5.84%,
1/22/29(a)
17,715
17,737
DLLMT
LLC,
2024-1A
5.08%,
2/22/27(a)
235,000
235,983
DLLST
LLC,
2024-1A
5.33%,
1/20/26(a)
94,443
94,646
Domino's
Pizza
Master
Issuer
LLC,
2015-1A
4.47%,
10/25/45(a)
1,368,063
1,364,353
2018-1A
4.12%,
7/25/48(a)
710,625
706,665
Driven
Brands
Funding
LLC,
2019-1A
4.64%,
4/20/49(a)
1,048,520
1,039,938
Enterprise
Fleet
Financing
LLC,
2023-1
5.51%,
1/22/29(a)
170,428
171,324
2024-2
5.74%,
12/20/26(a)
200,000
201,737
FHF
Issuer
Trust,
2023-2A
6.79%,
10/15/29(a)
147,136
149,910
Face
Amount
Value
2024-2A
5.89%,
6/15/30(a)
$
72,266
$
73,172
GLS
Auto
Select
Receivables
Trust,
2024-1A
5.24%,
3/15/30(a)
112,347
112,952
GM
Financial
Consumer
Automobile
Receivables
Trust,
2023-4
5.89%,
11/16/26
63,539
63,771
J.P.
Morgan
Mortgage
Trust,
2023-HE2
SOFR30A
+
1.70%,
6.30%,
3/20/54(a)(b)
82,229
82,990
2024-HE1
SOFR30A
+
1.50%,
6.10%,
8/25/54(a)(b)
1,852,066
1,863,956
2024-HE2
SOFR30A
+
1.20%,
5.80%,
10/20/54(a)(b)
213,718
215,069
LAD
Auto
Receivables
Trust,
2023-1A
5.68%,
10/15/26(a)
10,373
10,377
2023-2A
5.93%,
6/15/27(a)
66,877
67,049
2023-3A
6.12%,
9/15/27(a)
144,511
145,290
Lendbuzz
Securitization
Trust,
2023-1A
6.92%,
8/15/28(a)
681,007
692,165
2023-2A
7.09%,
10/16/28(a)
747,613
761,812
2023-3A
7.50%,
12/15/28(a)
349,805
358,885
2024-1A
6.19%,
8/15/29(a)
127,959
129,384
2024-3A
4.97%,
10/15/29(a)
250,000
250,056
Mercury
Financial
Credit
Card
Master
Trust,
2024-2A
6.56%,
7/20/29(a)
207,000
209,593
Newtek
Small
Business
Loan
Trust,
2023-1
US
Prime
Rate
-
0.50%,
7.00%,
7/25/50(a)(b)
106,959
108,156
Octane
Receivables
Trust,
2023-1A
5.87%,
5/21/29(a)
35,111
35,278
2024-2A
5.80%,
7/20/32(a)
432,370
437,263
2024-3A
4.94%,
5/20/30(a)
2,000,000
2,004,099
2024-RVM1
5.01%,
1/22/46(a)
525,000
524,825
Onemain
Direct
Auto
Receivables
Trust,
2022-1A
5.07%,
6/14/29(a)
400,000
401,066
OneMain
Financial
Issuance
Trust,
2022-S1
4.13%,
5/14/35(a)
2,250,000
2,236,953
Morgan
Stanley
ETF
Trust
Calvert
Ultra-Short
Investment
Grade
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Asset-Backed
Securities
(17.4%)
(cont’d)
Oportun
Funding
Trust,
2024-3
5.26%,
8/15/29(a)
$
852,508
$
853,443
Oportun
Issuance
Trust,
2024-1A
6.33%,
4/8/31(a)
1,771,398
1,775,109
2024-1A
6.55%,
4/8/31(a)
317,000
318,703
Oscar
US
Funding
XV
LLC,
2023-1A
6.07%,
9/10/26(a)
154,400
154,941
Oscar
US
Funding
XVI
LLC,
2024-1A
5.48%,
2/10/27(a)
154,374
154,898
Oscar
US
Funding
XVII
LLC,
2024-2A
4.63%,
12/10/27(a)
206,000
205,747
Pagaya
Ai
Debt
Grantor
Trust,
2024-9
5.07%,
3/15/32(a)
395,385
395,710
PEAC
Solutions
Receivables
LLC,
2024-1A
5.79%,
6/21/27(a)
450,000
454,287
2024-2A
4.74%,
4/20/27(a)
270,000
269,492
Prodigy
Finance
DAC,
2021-1A
CME
Term
SOFR
1
Month
+
1.36%,
5.70%,
7/25/51(a)(b)
523,134
523,010
2021-1A
CME
Term
SOFR
1
Month
+
2.61%,
6.95%,
7/25/51(a)(b)
655,495
660,883
2021-1A
CME
Term
SOFR
1
Month
+
6.01%,
10.35%,
7/25/51(a)(b)
213,183
219,351
Prosper
Marketplace
Issuance
Trust,
2023-1A
7.06%,
7/16/29(a)
32,124
32,199
2024-1A
6.12%,
8/15/29(a)
311,343
312,295
Reach
ABS
Trust,
2023-1A
7.05%,
2/18/31(a)
12,156
12,177
2024-2A
5.88%,
7/15/31(a)
809,465
813,659
Santander
Bank
Auto
Credit-Linked
Notes,
2022-B
11.91%,
8/16/32(a)
950,000
972,402
SFS
Auto
Receivables
Securitization
Trust,
2024-1A
5.35%,
6/21/27(a)
63,994
64,137
Stack
Infrastructure
Issuer
LLC,
2020-1A
1.89%,
8/25/45(a)
312,000
305,676
Taco
Bell
Funding
LLC,
2016-1A
4.97%,
5/25/46(a)
2,503,125
2,500,185
Face
Amount
Value
Theorem
Funding
Trust,
2022-2A
9.27%,
12/15/28(a)
$
1,345,000
$
1,384,701
2022-3A
8.95%,
4/15/29(a)
500,000
515,178
2023-1A
7.58%,
4/15/29(a)
22,812
23,020
Tricolor
Auto
Securitization
Trust,
2024-2A
6.36%,
12/15/27(a)
156,805
158,032
2024-3A
5.22%,
6/15/28(a)
643,153
645,232
Vantage
Data
Centers
Issuer
LLC,
2020-1A
1.65%,
9/15/45(a)
800,000
781,367
Wendy's
Funding
LLC,
2019-1A
3.78%,
6/15/49(a)
177,984
173,997
Wingspire
Equipment
Finance
LLC,
2024-1A
4.99%,
9/20/32(a)
156,000
156,358
36,252,427
Commercial
Mortgage-Backed
Securities
(
8
.9
%
)
BPR
Trust
CME
Term
SOFR
1
Month
+
1.90%,
6.30%,
4/15/37(a)(b)
905,000
910,838
CME
Term
SOFR
1
Month
+
3.00%,
7.40%,
5/15/39(a)(b)
150,000
150,787
BX
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.06%,
5.46%,
9/15/36(a)(b)
425,000
424,278
CAMB
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.55%,
5.95%,
12/15/37(a)(b)
286,543
286,878
CME
Term
SOFR
1
Month
+
2.05%,
6.45%,
12/15/37(a)(b)
288,000
288,336
CENT
Trust
CME
Term
SOFR
1
Month
+
2.62%,
7.02%,
9/15/38(a)(b)
595,000
599,462
Connecticut
Avenue
Securities
Trust
SOFR30A
+
1.00%,
5.57%,
12/25/41(a)(b)
69,532
69,721
SOFR30A
+
2.95%,
7.51%,
6/25/42(a)(b)
295,448
305,560
Extended
Stay
America
Trust
CME
Term
SOFR
1
Month
+
1.19%,
5.59%,
7/15/38(a)(b)
484,435
485,638
CME
Term
SOFR
1
Month
+
1.49%,
5.89%,
7/15/38(a)(b)
792,712
794,678
FHLMC
STACR
REMIC
Trust
SOFR30A
+
1.35%,
5.92%,
2/25/44(a)(b)
108,475
108,997
FHLMC,
REMIC
SOFR30A
+
0.51%,
5.11%,
1/15/42(b)
246,703
244,938
SOFR30A
+
0.66%,
5.26%,
4/15/36(b)
204,930
203,040
Morgan
Stanley
ETF
Trust
Calvert
Ultra-Short
Investment
Grade
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Commercial
Mortgage-Backed
Securities
(8.9%)
(cont’d)
SOFR30A
+
1.10%,
5.67%,
5/25/54(b)
$
842,474
$
842,923
SOFR30A
+
1.20%,
5.77%,
3/25/54(b)
2,286,132
2,305,517
SOFR30A
+
1.25%,
5.82%,
3/25/54(b)
689,685
691,667
SOFR30A
+
1.43%,
6.00%,
12/25/54(b)
2,951,377
2,955,813
FNMA,
REMIC
SOFR30A
+
0.36%,
4.93%,
6/25/36(b)
176,441
175,004
SOFR30A
+
0.65%,
5.22%,
2/25/38(b)
224,466
223,564
SOFR30A
+
1.05%,
5.62%,
12/25/54(b)
978,691
974,256
Hawaii
Hotel
Trust
CME
Term
SOFR
1
Month
+
1.45%,
5.85%,
5/15/38(a)(b)
250,000
250,532
HILT
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.94%,
6.34%,
5/15/37(a)(b)
605,000
607,268
HLTN
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.64%,
6.04%,
6/15/41(a)(b)
960,600
966,002
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust
CME
Term
SOFR
1
Month
+
1.41%,
5.81%,
4/15/38(a)(b)
100,000
100,094
Marlette
Funding
Trust
6.50%,
4/15/33(a)
376,803
379,408
MHC
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
0.92%,
5.31%,
4/15/38(a)(b)
167,591
167,749
NRTH
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.64%,
6.04%,
3/15/39(a)(b)
910,000
913,981
ORL
Trust
CME
Term
SOFR
1
Month
+
1.49%,
5.99%,
12/15/39(a)(b)
737,000
739,763
Reach
Abs
Trust
6.30%,
2/18/31(a)
144,484
145,750
SHR
Trust
CME
Term
SOFR
1
Month
+
1.95%,
6.35%,
10/15/41(a)(b)
605,000
608,585
TX
Trust
CME
Term
SOFR
1
Month
+
1.59%,
5.99%,
6/15/39(a)(b)
610,000
610,769
18,531,796
Corporate
Bonds
(
56
.5
%
)
Automobiles
(1.5%)
General
Motors
Co.
6.13%,
10/1/25
171,000
172,377
Hyundai
Capital
America
1.50%,
6/15/26(a)
75,000
71,445
5.45%,
6/24/26(a)(c)
400,000
402,943
5.80%,
6/26/25(a)
971,000
974,684
5.81%,
11/3/25(a)(b)
500,000
503,050
Face
Amount
Value
Volkswagen
Group
of
America
Finance
LLC
4.90%,
8/14/26(a)
$
700,000
$
697,733
5.30%,
3/20/26(a)(b)
250,000
249,947
3,072,179
Banks
(23.8%)
Australia
&
New
Zealand
Banking
Group
Ltd.
5.03%,
3/18/26(a)(b)
250,000
250,638
Banco
Bilbao
Vizcaya
Argentaria
SA
5.86%,
9/14/26(b)
1,933,000
1,944,214
Banco
Santander
SA
2.75%,
5/28/25
450,000
445,778
5.15%,
8/18/25
1,000,000
1,001,203
Bank
of
America
Corp.
3.38%,
4/2/26(b)
400,000
398,494
3.95%,
4/21/25(c)
200,000
199,481
4.83%,
7/22/26(b)
5,345,000
5,346,035
Bank
of
Ireland
Group
plc
6.25%,
9/16/26(a)(b)
1,500,000
1,512,756
BNP
Paribas
SA
3.38%,
1/9/25(a)(c)
1,000,000
999,757
BPCE
SA
4.50%,
3/15/25(a)
275,000
274,519
5.03%,
1/15/25(a)
555,000
555,051
5.15%,
1/14/25(a)(b)
500,000
500,066
Capital
One
NA
2.28%,
1/28/26(b)
3,035,000
3,028,284
Citigroup,
Inc.
3.11%,
4/8/26(b)(c)
2,225,000
2,214,553
3.88%,
3/26/25
250,000
249,364
5.19%,
1/25/26(b)
550,000
550,370
5.61%,
9/29/26(b)
2,000,000
2,011,388
Danske
Bank
A/S
6.47%,
1/9/26(a)(b)(c)
1,000,000
1,000,218
HSBC
Holdings
plc
3.00%,
3/10/26(b)(c)
1,000,000
996,144
Intesa
Sanpaolo
SpA
7.00%,
11/21/25(a)
1,350,000
1,373,361
JPMorgan
Chase
&
Co.
2.08%,
4/22/26(b)(c)
1,100,000
1,090,699
4.08%,
4/26/26(b)
3,145,000
3,137,279
KeyBank
NA
4.15%,
8/8/25(c)
1,525,000
1,517,599
KeyCorp
5.73%,
5/23/25(b)
470,000
470,430
Lloyds
Banking
Group
plc
4.45%,
5/8/25
250,000
249,591
National
Bank
of
Canada
5.25%,
1/17/25
250,000
250,059
5.54%,
7/2/27(b)
300,000
301,155
5.60%,
7/2/27(b)(c)
250,000
252,840
PNC
Financial
Services
Group,
Inc.
(The)
5.81%,
6/12/26(b)
1,358,000
1,363,922
Royal
Bank
of
Canada
4.95%,
4/25/25(c)
140,000
140,194
Santander
Holdings
USA,
Inc.
5.81%,
9/9/26(b)
1,141,000
1,147,444
Santander
UK
Group
Holdings
plc
6.83%,
11/21/26(b)
1,535,000
1,557,418
Morgan
Stanley
ETF
Trust
Calvert
Ultra-Short
Investment
Grade
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(56.5%)
(cont’d)
Societe
Generale
SA
2.63%,
1/22/25(a)(c)
$
2,000,000
$
1,997,308
5.25%,
2/19/27(a)
1,050,000
1,050,824
5.52%,
1/19/28(a)(b)
225,000
225,843
Swedbank
AB
6.14%,
9/12/26(a)
218,000
222,768
Synovus
Financial
Corp.
5.20%,
8/11/25
1,982,000
1,981,229
Truist
Financial
Corp.
4.26%,
7/28/26(b)
2,050,000
2,042,504
UniCredit
SpA
2.57%,
9/22/26(a)(b)
475,000
465,911
Wells
Fargo
&
Co.
2.16%,
2/11/26(b)
570,000
568,289
3.00%,
2/19/25
75,000
74,796
3.91%,
4/25/26(b)
4,025,000
4,013,300
4.54%,
8/15/26(b)(c)
720,000
718,738
49,691,814
Biotechnology
(0.0%)(d)
Amgen,
Inc.
5.25%,
3/2/25
80,000
80,050
Capital
Markets
(4.1%)
Apollo
Management
Holdings
LP
4.40%,
5/27/26(a)
75,000
74,452
Charles
Schwab
Corp.
(The)
3.85%,
5/21/25
75,000
74,807
Goldman
Sachs
Bank
USA
5.41%,
5/21/27(b)
449,000
452,591
Goldman
Sachs
Group,
Inc.
(The)
3.50%,
1/23/25(c)
300,000
299,835
5.80%,
8/10/26(b)
4,075,000
4,098,856
HAT
Holdings
I
LLC
3.38%,
6/15/26(a)
1,385,000
1,343,000
8.00%,
6/15/27(a)
860,000
897,126
Macquarie
Bank
Ltd.
5.39%,
12/7/26(a)(c)
120,000
121,862
UBS
AG
1.38%,
1/13/25(a)
600,000
599,425
3.70%,
2/21/25
425,000
424,177
7.95%,
1/9/25(c)
250,000
250,121
8,636,252
Chemicals
(1.0%)
Celanese
US
Holdings
LLC
6.05%,
3/15/25(e)
2,080,000
2,081,671
Consumer
Finance
(5.7%)
Ally
Financial,
Inc.
4.63%,
3/30/25
1,130,000
1,128,004
5.80%,
5/1/25
1,537,000
1,538,989
Avolon
Holdings
Funding
Ltd.
2.88%,
2/15/25(a)
1,510,000
1,505,136
Capital
One
Financial
Corp.
4.99%,
7/24/26(b)
980,000
979,513
Discover
Financial
Services
3.75%,
3/4/25
1,068,000
1,065,803
Face
Amount
Value
Ford
Motor
Credit
Co.
LLC
5.13%,
6/16/25
$
4,000,000
$
3,998,624
General
Motors
Financial
Co.,
Inc.
5.81%,
4/7/25(b)(c)
1,000,000
1,002,466
Harley-Davidson
Financial
Services,
Inc.
3.35%,
6/8/25(a)
400,000
397,010
Synchrony
Financial
4.88%,
6/13/25
275,000
274,797
11,890,342
Containers
&
Packaging
(1.0%)
Sonoco
Products
Co.
1.80%,
2/1/25
1,870,000
1,864,468
4.45%,
9/1/26
195,000
193,754
2,058,222
Distributors
(0.0%)(d)
Genuine
Parts
Co.
1.75%,
2/1/25
75,000
74,802
Electric
Utilities
(1.9%)
Enel
Finance
International
NV
1.63%,
7/12/26(a)(e)
50,000
47,699
NextEra
Energy
Capital
Holdings,
Inc.
5.75%,
9/1/25
925,000
930,968
6.05%,
3/1/25
2,966,000
2,971,509
3,950,176
Electronic
Equipment,
Instruments
&
Components
(0.0%)(d)
Amphenol
Corp.
4.75%,
3/30/26
40,000
40,046
Entertainment
(0.8%)
Warnermedia
Holdings,
Inc.
3.64%,
3/15/25
1,000,000
996,879
6.41%,
3/15/26(c)
739,000
739,302
1,736,181
Financial
Services
(1.0%)
Rocket
Mortgage
LLC
2.88%,
10/15/26(a)(c)
455,000
432,029
Synchrony
Bank
5.40%,
8/22/25(c)
1,575,000
1,577,387
Western
Union
Co.
(The)
2.85%,
1/10/25
75,000
74,964
2,084,380
Food
Products
(0.1%)
Campbell's
Co.
(The)
5.30%,
3/20/26
250,000
251,812
Ground
Transportation
(0.1%)
Penske
Truck
Leasing
Co.
LP
5.75%,
5/24/26(a)
120,000
121,299
Health
Care
Providers
&
Services
(0.6%)
Centene
Corp.
4.25%,
12/15/27
750,000
727,086
Elevance
Health,
Inc.
2.38%,
1/15/25
575,000
574,512
1,301,598
Morgan
Stanley
ETF
Trust
Calvert
Ultra-Short
Investment
Grade
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(56.5%)
(cont’d)
Health
Care
REITs
(0.2%)
Ventas
Realty
LP
2.65%,
1/15/25
$
374,000
$
373,409
Hotels,
Restaurants
&
Leisure
(0.2%)
Hyatt
Hotels
Corp.
5.38%,
4/23/25(e)
300,000
300,213
Household
Durables
(0.1%)
Lennar
Corp.
4.75%,
5/30/25(c)
290,000
289,721
Independent
Power
and
Renewable
Electricity
Producers
(1.0%)
AES
Corp.
(The)
1.38%,
1/15/26
730,000
703,465
3.30%,
7/15/25(a)
1,443,000
1,431,759
2,135,224
Insurance
(2.5%)
Athene
Global
Funding
1.61%,
6/29/26(a)
75,000
71,486
4.86%,
8/27/26(a)
342,000
341,824
5.34%,
5/8/26(a)(b)
1,045,000
1,045,205
5.68%,
2/23/26(a)
1,300,000
1,311,168
Corebridge
Global
Funding
5.35%,
6/24/26(a)
375,000
378,474
GA
Global
Funding
Trust
1.63%,
1/15/26(a)
690,000
666,674
3.85%,
4/11/25(a)
940,000
937,123
Protective
Life
Global
Funding
5.21%,
4/10/26(a)(b)
500,000
501,342
5,253,296
IT
Services
(0.0%)(d)
Genpact
Luxembourg
SARL
1.75%,
4/10/26
75,000
72,023
Machinery
(0.1%)
Westinghouse
Air
Brake
Technologies
Corp.
3.20%,
6/15/25(c)
150,000
148,827
Media
(1.2%)
Charter
Communications
Operating
LLC
4.91%,
7/23/25
1,986,000
1,984,334
Discovery
Communications
LLC
3.45%,
3/15/25
500,000
498,233
2,482,567
Multi-Utilities
(0.5%)
Algonquin
Power
&
Utilities
Corp.
5.37%,
6/15/26(e)
960,000
965,400
Passenger
Airlines
(1.2%)
Delta
Air
Lines,
Inc.
4.75%,
10/20/28(a)
500,000
493,464
Delta
Air
Lines,
Inc./SkyMiles
IP
Ltd.
4.50%,
10/20/25(a)
2,041,556
2,029,395
2,522,859
Pharmaceuticals
(0.2%)
Royalty
Pharma
plc
1.20%,
9/2/25
470,000
458,511
Face
Amount
Value
Professional
Services
(0.3%)
Concentrix
Corp.
6.65%,
8/2/26
$
679,000
$
691,127
Retail
REITs
(0.6%)
Kimco
Realty
OP
LLC
3.30%,
2/1/25
375,000
374,424
Kite
Realty
Group
Trust
4.00%,
3/15/25
782,000
779,823
1,154,247
Semiconductors
&
Semiconductor
Equipment
(0.0%)(d)
Intel
Corp.
4.88%,
2/10/26
75,000
75,057
Software
(1.1%)
Oracle
Corp.
2.50%,
4/1/25
293,000
291,347
2.95%,
5/15/25
2,000,000
1,986,355
2,277,702
Specialized
REITs
(2.7%)
American
Tower
Corp.
2.95%,
1/15/25
2,399,000
2,397,500
EPR
Properties
4.50%,
4/1/25
1,783,000
1,778,801
4.75%,
12/15/26
75,000
74,423
Equinix,
Inc.
1.00%,
9/15/25(c)
280,000
272,707
1.25%,
7/15/25
1,025,000
1,005,515
5,528,946
Technology
Hardware,
Storage
&
Peripherals
(1.0%)
Hewlett
Packard
Enterprise
Co.
4.90%,
10/15/25(e)
567,000
567,200
HP,
Inc.
2.20%,
6/17/25(c)
1,525,000
1,506,385
2,073,585
Trading
Companies
&
Distributors
(0.9%)
Air
Lease
Corp.
2.88%,
1/15/26
75,000
73,440
3.25%,
3/1/25
255,000
254,292
Aircastle
Ltd.
5.25%,
8/11/25(a)
1,575,000
1,575,946
1,903,678
Wireless
Telecommunication
Services
(1.1%)
Rogers
Communications,
Inc.
2.95%,
3/15/25
1,505,000
1,496,915
T-Mobile
USA,
Inc.
3.50%,
4/15/25(c)
700,000
696,939
2,193,854
117,971,070
U.S.
Government
and
Agency
Securities
(
11
.1
%
)
U.S.
Treasury
Notes
0.38%,
1/31/26
10,750,000
10,316,212
2.63%,
1/31/26
10,400,000
10,225,307
Morgan
Stanley
ETF
Trust
Calvert
Ultra-Short
Investment
Grade
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
U.S.
Government
and
Agency
Securities
(11.1%)
(continued)
4.25%,
1/31/26
$
2,650,000
$
2,650,465
23,191,984
Total
Fixed
Income
Securities
(Cost
$195,540,055)
195,947,277
Shares
Short-Term
Investments
(
6
.9
%
)
Investment
Company
(
3
.6
%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(f)
(Cost
$7,514,374)
7,514,374
7,514,374
Security
held
as
Collateral
on
Loaned
Securities
(
1
.6
%
)
Investment
Company
(1.6%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(f)
(Cost
$3,391,600)
3,391,600
3,391,600
Face
Amount
Commercial
Paper
(
1
.7
%
)
Brookfield
Renewable
Partners
LP
5.02%,
1/6/25
$
1,358,000
1,356,987
General
Motors
Financial
Co.,
Inc.
5.62%,
2/4/25
260,000
258,831
Harley-Davidson
Financial
Services,
Inc.
4.99%,
2/3/25
600,000
597,317
5.05%,
1/23/25
1,100,000
1,096,701
HSBC
USA,
Inc.
5.86%,
6/5/25
250,000
245,083
Total
Commercial
Paper
(Cost
$3,553,188)
3,554,919
Total
Short-Term
Investments
(Cost
$14,459,162)
14,460,893
Total
Investments
(100.8%)
(Cost
$209,999,217)
(g)
210,408,170
Liabilities
in
Excess
of
Other
Assets
(-0.8%)
(1,634,682)
Net
Assets
(100.0%)
$208,773,488
(a)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(b)
Floating
or
variable
rate
securities:
The
rates
disclosed
are
as
of
December
31,
2024.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
are
indicated
in
the
description
in
the
Portfolio
of
Investments.
Certain
variable
rate
securities
may
not
be
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description
in
the
Portfolio
of
Investments.
(c)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$3,286,247
and
$3,391,600,
respectively.
The
Fund
received
cash
collateral
of
$3,391,600,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(d)
Amount
is
less
than
0.05%.
(e)
Multi-step
Coupon
rate
changes
in
predetermined
increments
to
maturity.
Rate
disclosed
is
as
of
December
31,
2024.
Maturity
date
disclosed
is
the
ultimate
maturity
date.
(f)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$2,633
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(g)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$209,999,217.
The
aggregate
gross
unrealized
appreciation
is
$444,683
and
the
aggregate
gross
unrealized
depreciation
is
$35,730,
resulting
in
net
unrealized
appreciation
of
$408,953.
CME
Chicago
Mercantile
Exchange
FHLMC
Federal
Home
Loan
Mortgage
Corp.
FNMA
Federal
National
Mortgage
Association
REIT
Real
Estate
Investment
Trust
REMIC
Real
Estate
Mortgage
Investment
Conduit
SOFR
Secured
Overnight
Financing
Rate
SOFR30A
Secured
Overnight
Financing
Rate
30
Day
Average
Morgan
Stanley
ETF
Trust
Calvert
Ultra-Short
Investment
Grade
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Futures
Contracts:
The
Fund
had
the
following
futures
contracts
open
at
December
31,
2024:
Number
of
Contracts
Expiration
Date
Notional
Amount
Value
Unrealized
Depreciation
Short:
U.S.
Treasury
2
Year
Notes
6
Mar-25
$
(
1,200,000
)
$
(
1,233,656
)
$
(
375
)
Portfolio
Composition*
Classification  
Percentage
of
Total
Investments
Other**
27‌
.2
%
Banks
24‌
.0
Asset-Backed
Securities
17‌
.5
U.S.
Government
and
Agency
Securities
11‌
.2
Commercial
Mortgage-Backed
Securities
9‌
.0
Consumer
Finance
5‌
.7
Short-Term
Investments
5‌
.4
Total
Investments
100‌
.0
%
***
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
***
Does
not
include
open
futures
contracts
with
a
value
of
$
1,233,656
and
total
unrealized
depreciation
of
$
375
.
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Shares
Value
Common
Stocks
(99.8%)
Aerospace
&
Defense
(
0
.8
%
)
Axon
Enterprise,
Inc.
(a)(b)
840
$
499,229
Curtiss-Wright
Corp.
438
155,433
General
Electric
Co.
12,171
2,030,001
HEICO
Corp.
(b)
1,169
277,918
Hexcel
Corp.
933
58,499
Moog,
Inc.,
Class
 A
325
63,973
Woodward,
Inc.
640
106,509
3,191,562
Air
Freight
&
Logistics
(
0
.4
%
)
CH
Robinson
Worldwide,
Inc.
1,181
122,021
Expeditors
International
of
Washington,
Inc.
1,398
154,856
FedEx
Corp.
2,248
632,430
GXO
Logistics,
Inc.
(a)
1,116
48,546
United
Parcel
Service,
Inc.,
Class
 B
7,352
927,087
1,884,940
Automobile
Components
(
0
.1
%
)
Aptiv
plc
(a)
2,732
165,231
Autoliv,
Inc.
790
74,094
BorgWarner,
Inc.
2,185
69,461
Lear
Corp.
545
51,612
Modine
Manufacturing
Co.
(a)(b)
518
60,052
420,450
Automobiles
(
2
.5
%
)
Ford
Motor
Co.
39,142
387,506
General
Motors
Co.
11,037
587,941
Harley-Davidson,
Inc.
(b)
1,271
38,295
Rivian
Automotive,
Inc.,
Class
 A
(a)(b)
7,436
98,899
Tesla,
Inc.
(a)
24,027
9,703,064
Thor
Industries,
Inc.
(b)
509
48,716
10,864,421
Banks
(
4
.2
%
)
Bank
of
America
Corp.
67,543
2,968,515
Bank
OZK
1,135
50,542
BOK
Financial
Corp.
238
25,335
Cadence
Bank
1,900
65,455
Citigroup,
Inc.
19,805
1,394,074
Citizens
Financial
Group,
Inc.
4,590
200,858
Comerica,
Inc.
1,369
84,673
Commerce
Bancshares,
Inc.
1,404
87,483
Cullen/Frost
Bankers,
Inc.
625
83,906
East
West
Bancorp,
Inc.
1,441
137,990
Fifth
Third
Bancorp
7,005
296,171
First
Citizens
BancShares,
Inc.,
Class
 A
107
226,093
First
Horizon
Corp.
5,499
110,750
FNB
Corp.
3,725
55,056
Home
BancShares,
Inc.
1,934
54,732
Huntington
Bancshares,
Inc.
15,083
245,400
JPMorgan
Chase
&
Co.
24,834
5,952,958
KeyCorp
10,368
177,708
M&T
Bank
Corp.
1,735
326,197
Old
National
Bancorp
3,319
72,039
Pinnacle
Financial
Partners,
Inc.
(b)
798
91,283
PNC
Financial
Services
Group,
Inc.
(The)
4,150
800,328
Popular,
Inc.
734
69,040
Regions
Financial
Corp.
9,515
223,793
SouthState
Corp.
793
78,888
Shares
Value
Synovus
Financial
Corp.
1,473
$
75,462
Truist
Financial
Corp.
13,903
603,112
U.S.
Bancorp
16,349
781,973
Webster
Financial
Corp.
1,784
98,512
Wells
Fargo
&
Co.
34,909
2,452,008
Western
Alliance
Bancorp
1,139
95,152
Wintrust
Financial
Corp.
688
85,800
Zions
Bancorp
NA
1,527
82,840
18,154,126
Beverages
(
1
.4
%
)
Celsius
Holdings,
Inc.
(a)(b)
2,068
54,471
Coca-Cola
Co.
(The)
40,996
2,552,411
Coca-Cola
Consolidated,
Inc.
74
93,239
Keurig
Dr
Pepper,
Inc.
13,962
448,460
Monster
Beverage
Corp.
(a)
8,593
451,648
PepsiCo,
Inc.
14,867
2,260,676
5,860,905
Biotechnology
(
2
.2
%
)
AbbVie,
Inc.
16,942
3,010,593
Alnylam
Pharmaceuticals,
Inc.
(a)
1,227
288,725
Amgen,
Inc.
5,146
1,341,253
Apellis
Pharmaceuticals,
Inc.
(a)
974
31,080
Biogen,
Inc.
(a)
1,389
212,406
BioMarin
Pharmaceutical,
Inc.
(a)
1,806
118,708
Blueprint
Medicines
Corp.
(a)(b)
591
51,547
Cytokinetics,
Inc.
(a)
1,089
51,227
Exact
Sciences
Corp.
(a)
1,750
98,332
Exelixis,
Inc.
(a)
2,673
89,011
Gilead
Sciences,
Inc.
11,946
1,103,452
Halozyme
Therapeutics,
Inc.
(a)
1,208
57,754
Incyte
Corp.
(a)
1,523
105,194
Insmed,
Inc.
(a)
1,673
115,504
Ionis
Pharmaceuticals,
Inc.
(a)(b)
1,396
48,804
Krystal
Biotech,
Inc.
(a)(b)
233
36,502
Madrigal
Pharmaceuticals,
Inc.
(a)
176
54,308
Moderna,
Inc.
(a)
3,293
136,923
Neurocrine
Biosciences,
Inc.
(a)
946
129,129
Regeneron
Pharmaceuticals,
Inc.
(a)
1,017
724,440
REVOLUTION
Medicines,
Inc.
(a)(b)
1,352
59,136
Roivant
Sciences
Ltd.
(a)
4,073
48,184
Sarepta
Therapeutics,
Inc.
(a)
854
103,838
United
Therapeutics
Corp.
(a)
420
148,193
Vaxcyte,
Inc.
(a)
1,153
94,385
Vertex
Pharmaceuticals,
Inc.
(a)
2,465
992,656
Viking
Therapeutics,
Inc.
(a)
1,036
41,689
9,292,973
Broadline
Retail
(
4
.1
%
)
Amazon.com,
Inc.
(a)
77,427
16,986,710
eBay,
Inc.
(b)
4,090
253,375
Etsy,
Inc.
(a)
955
50,510
Macy's,
Inc.
2,359
39,938
Ollie's
Bargain
Outlet
Holdings,
Inc.
(a)(b)
525
57,608
17,388,141
Building
Products
(
1
.0
%
)
AAON,
Inc.
777
91,437
Advanced
Drainage
Systems,
Inc.
(b)
822
95,023
Allegion
plc
1,005
131,333
AO
Smith
Corp.
1,391
94,880
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Building
Products
(cont’d)
Armstrong
World
Industries,
Inc.
369
$
52,151
AZEK
Co.,
Inc.
(The),
Class
 A
(a)
1,201
57,012
Carlisle
Cos.,
Inc.
1,067
393,552
Carrier
Global
Corp.
9,708
662,668
Fortune
Brands
Innovations,
Inc.
1,058
72,293
Johnson
Controls
International
plc
7,648
603,657
Lennox
International,
Inc.
372
226,660
Masco
Corp.
1,842
133,674
Owens
Corning
2,016
343,365
Simpson
Manufacturing
Co.,
Inc.
(b)
487
80,759
Trane
Technologies
plc
2,600
960,310
Trex
Co.,
Inc.
(a)
912
62,955
UFP
Industries,
Inc.
510
57,452
Zurn
Elkay
Water
Solutions
Corp.
(b)
1,218
45,432
4,164,613
Capital
Markets
(
4
.0
%
)
Affiliated
Managers
Group,
Inc.
(b)
309
57,140
Ameriprise
Financial,
Inc.
1,017
541,481
Ares
Management
Corp.,
Class
 A
1,970
348,749
Bank
of
New
York
Mellon
Corp.
(The)
7,613
584,907
BlackRock,
Inc.
1,503
1,540,740
Blackstone,
Inc.
7,505
1,294,012
Blue
Owl
Capital,
Inc.,
Class
 A
5,831
135,629
Carlyle
Group,
Inc.
(The)
2,293
115,774
Cboe
Global
Markets,
Inc.
1,095
213,963
Charles
Schwab
Corp.
(The)
15,633
1,156,998
CME
Group,
Inc.
3,772
875,972
Coinbase
Global,
Inc.,
Class
 A
(a)
2,026
503,056
Evercore,
Inc.,
Class
 A
373
103,392
FactSet
Research
Systems,
Inc.
361
173,381
Franklin
Resources,
Inc.
(b)
2,943
59,713
Goldman
Sachs
Group,
Inc.
(The)
3,281
1,878,766
Hamilton
Lane,
Inc.,
Class
 A
353
52,262
Houlihan
Lokey,
Inc.,
Class
 A
(b)
562
97,597
Interactive
Brokers
Group,
Inc.,
Class
 A
1,104
195,044
Intercontinental
Exchange,
Inc.
5,966
888,994
Invesco
Ltd.
4,640
81,107
Janus
Henderson
Group
plc
1,355
57,628
Jefferies
Financial
Group,
Inc.
1,615
126,616
KKR
&
Co.,
Inc.
7,097
1,049,717
LPL
Financial
Holdings,
Inc.
781
255,004
MarketAxess
Holdings,
Inc.
352
79,566
Moody's
Corp.
1,502
711,002
Morningstar,
Inc.
259
87,221
MSCI,
Inc.,
Class
 A
722
433,207
Nasdaq,
Inc.
4,324
334,288
Northern
Trust
Corp.
2,050
210,125
Raymond
James
Financial,
Inc.
1,927
299,321
S&P
Global,
Inc.
2,950
1,469,189
SEI
Investments
Co.
1,022
84,295
State
Street
Corp.
3,062
300,535
Stifel
Financial
Corp.
(b)
1,043
110,641
T
Rowe
Price
Group,
Inc.
2,281
257,958
TPG,
Inc.,
Class
 A
(b)
859
53,980
Tradeweb
Markets,
Inc.,
Class
 A
1,214
158,937
16,977,907
Shares
Value
Chemicals
(
1
.4
%
)
Air
Products
and
Chemicals,
Inc.
2,558
$
741,922
Arcadium
Lithium
plc
(a)
24,510
125,736
Ashland,
Inc.
540
38,589
Axalta
Coating
Systems
Ltd.
(a)
2,519
86,200
Balchem
Corp.
376
61,286
Cabot
Corp.
622
56,795
Celanese
Corp.,
Class
 A
1,262
87,343
Eastman
Chemical
Co.
1,336
122,004
Ecolab,
Inc.
2,941
689,135
Element
Solutions,
Inc.
2,574
65,457
FMC
Corp.
(b)
1,438
69,901
International
Flavors
&
Fragrances,
Inc.
2,958
250,099
Linde
plc
5,136
2,150,289
Mosaic
Co.
(The)
3,653
89,791
PPG
Industries,
Inc.
2,678
319,887
RPM
International,
Inc.
1,473
181,267
Sherwin-Williams
Co.
(The)
2,680
911,012
6,046,713
Commercial
Services
&
Supplies
(
0
.7
%
)
Brink's
Co.
(The)
414
38,407
Casella
Waste
Systems,
Inc.,
Class
 A
(a)
644
68,142
Cintas
Corp.
2,931
535,494
Clean
Harbors,
Inc.
(a)
528
121,514
Copart,
Inc.
(a)(b)
8,378
480,813
MSA
Safety,
Inc.
(b)
428
70,949
Republic
Services,
Inc.,
Class
 A
2,114
425,294
Rollins,
Inc.
2,762
128,019
Tetra
Tech,
Inc.
2,773
110,476
Veralto
Corp.
2,173
221,320
Waste
Management,
Inc.
4,168
841,061
3,041,489
Communications
Equipment
(
1
.0
%
)
Arista
Networks,
Inc.
(a)
9,456
1,045,172
Ciena
Corp.
(a)
1,303
110,507
Cisco
Systems,
Inc.
36,419
2,156,005
F5,
Inc.
(a)
532
133,782
Juniper
Networks,
Inc.
2,997
112,237
Motorola
Solutions,
Inc.
1,525
704,901
4,262,604
Construction
&
Engineering
(
0
.3
%
)
AECOM
1,373
146,664
API
Group
Corp.
(a)
2,562
92,155
Comfort
Systems
USA,
Inc.
365
154,782
Dycom
Industries,
Inc.
(a)
292
50,825
EMCOR
Group,
Inc.
473
214,695
MasTec,
Inc.
(a)
640
87,130
Quanta
Services,
Inc.
1,512
477,868
Valmont
Industries,
Inc.
229
70,227
WillScot
Holdings
Corp.
(a)
1,871
62,585
1,356,931
Construction
Materials
(
0
.5
%
)
CRH
plc
11,803
1,092,013
Summit
Materials,
Inc.,
Class
 A
(a)
2,836
143,502
Vulcan
Materials
Co.
3,109
799,728
2,035,243
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Consumer
Finance
(
0
.9
%
)
Ally
Financial,
Inc.
2,876
$
103,565
American
Express
Co.
5,883
1,746,016
Capital
One
Financial
Corp.
3,955
705,256
Credit
Acceptance
Corp.
(a)
64
30,045
Discover
Financial
Services
2,623
454,382
FirstCash
Holdings,
Inc.
407
42,165
OneMain
Holdings,
Inc.
1,246
64,954
SLM
Corp.
2,196
60,566
SoFi
Technologies,
Inc.
(a)(b)
11,393
175,452
Synchrony
Financial
4,070
264,550
3,646,951
Consumer
Staples
Distribution
&
Retail
(
2
.2
%
)
Albertsons
Cos.,
Inc.,
Class
 A
5,208
102,285
BJ's
Wholesale
Club
Holdings,
Inc.
(a)
1,122
100,251
Casey's
General
Stores,
Inc.
457
181,077
Costco
Wholesale
Corp.
3,787
3,469,914
Dollar
General
Corp.
1,879
142,466
Dollar
Tree,
Inc.
(a)
1,840
137,890
Kroger
Co.
(The)
8,898
544,113
Performance
Food
Group
Co.
(a)
1,882
159,123
Sprouts
Farmers
Market,
Inc.
(a)
1,233
156,677
Sysco
Corp.
6,075
464,494
Target
Corp.
3,916
529,365
U.S.
Foods
Holding
Corp.
(a)
2,870
193,610
Walmart,
Inc.
37,297
3,369,784
9,551,049
Containers
&
Packaging
(
0
.4
%
)
Amcor
plc
(b)
16,692
157,072
AptarGroup,
Inc.
766
120,338
Avery
Dennison
Corp.
917
171,598
Ball
Corp.
3,446
189,978
Berry
Global
Group,
Inc.
1,331
86,076
Crown
Holdings,
Inc.
1,375
113,699
Graphic
Packaging
Holding
Co.
(b)
3,436
93,322
International
Paper
Co.
3,967
213,504
Packaging
Corp.
of
America
1,022
230,083
Sealed
Air
Corp.
1,659
56,124
Silgan
Holdings,
Inc.
978
50,905
Smurfit
WestRock
plc
5,904
317,989
Sonoco
Products
Co.
1,129
55,152
1,855,840
Distributors
(
0
.1
%
)
Genuine
Parts
Co.
1,187
138,594
LKQ
Corp.
2,212
81,291
Pool
Corp.
316
107,737
327,622
Diversified
Consumer
Services
(
0
.1
%
)
Bright
Horizons
Family
Solutions,
Inc.
(a)
549
60,857
Duolingo,
Inc.,
Class
 A
(a)
341
110,562
H&R
Block,
Inc.
1,289
68,111
Service
Corp.
International
(b)
1,338
106,799
346,329
Diversified
REITs
(
0
.0
%
)
(c)
Essential
Properties
Realty
Trust,
Inc.
(b)
1,813
56,711
WP
Carey,
Inc.
2,249
122,525
179,236
Shares
Value
Diversified
Telecommunication
Services
(
0
.7
%
)
AT&T,
Inc.
65,589
$
1,493,462
Verizon
Communications,
Inc.
38,566
1,542,254
3,035,716
Electric
Utilities
(
0
.9
%
)
Alliant
Energy
Corp.
2,664
157,549
Constellation
Energy
Corp.
3,235
723,702
Evergy,
Inc.
(b)
2,360
145,258
Eversource
Energy
3,802
218,349
Exelon
Corp.
10,450
393,338
IDACORP,
Inc.
552
60,322
NextEra
Energy,
Inc.
21,382
1,532,876
NRG
Energy,
Inc.
2,064
186,214
Portland
General
Electric
Co.
1,092
47,633
Xcel
Energy,
Inc.
(b)
5,957
402,217
3,867,458
Electrical
Equipment
(
1
.3
%
)
Acuity
Brands,
Inc.
357
104,291
AMETEK,
Inc.
2,670
481,294
Atkore,
Inc.
400
33,380
Eaton
Corp.
plc
4,573
1,517,642
Emerson
Electric
Co.
6,586
816,203
GE
Vernova,
Inc.
2,867
943,042
Hubbell,
Inc.,
Class
 B
620
259,712
NEXTracker,
Inc.,
Class
 A
(a)(b)
1,614
58,960
nVent
Electric
plc
1,890
128,822
Regal
Rexnord
Corp.
(b)
764
118,519
Rockwell
Automation,
Inc.
1,306
373,242
Sensata
Technologies
Holding
plc
1,716
47,018
Vertiv
Holdings
Co.,
Class
 A
4,269
485,001
5,367,126
Electronic
Equipment,
Instruments
&
Components
(
0
.8
%
)
Amphenol
Corp.,
Class
 A
13,872
963,410
Arrow
Electronics,
Inc.
(a)
448
50,678
Avnet,
Inc.
738
38,612
Badger
Meter,
Inc.
340
72,121
CDW
Corp.
1,217
211,807
Cognex
Corp.
1,984
71,146
Coherent
Corp.
(a)
1,768
167,483
Corning,
Inc.
7,141
339,340
Insight
Enterprises,
Inc.
(a)(b)
237
36,048
Itron,
Inc.
(a)
517
56,136
Jabil,
Inc.
(b)
991
142,605
Keysight
Technologies,
Inc.
(a)
1,996
320,618
Littelfuse,
Inc.
(b)
285
67,160
Novanta,
Inc.
(a)
413
63,094
TD
SYNNEX
Corp.
648
75,997
Teledyne
Technologies,
Inc.
(a)
534
247,845
Trimble,
Inc.
(a)
2,821
199,332
Vontier
Corp.
1,370
49,964
Zebra
Technologies
Corp.,
Class
 A
(a)
469
181,137
3,354,533
Energy
Equipment
&
Services
(
0
.2
%
)
Baker
Hughes
Co.,
Class
 A
22,889
938,907
Entertainment
(
1
.6
%
)
Electronic
Arts,
Inc.
2,173
317,910
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Entertainment
(cont’d)
Liberty
Media
Corp-Liberty
Formula
One,
Class
 A
(a)
2,358
$
198,166
Liberty
Media
Corp-Liberty
Live,
Class
 A
(a)
636
42,332
Live
Nation
Entertainment,
Inc.
(a)(b)
1,469
190,236
Netflix,
Inc.
(a)
3,892
3,469,017
ROBLOX
Corp.,
Class
 A
(a)
4,857
281,026
Roku,
Inc.,
Class
 A
(a)
1,164
86,532
Take-Two
Interactive
Software,
Inc.
(a)
1,481
272,623
Walt
Disney
Co.
(The)
17,229
1,918,449
Warner
Bros
Discovery,
Inc.
(a)
22,249
235,172
Warner
Music
Group
Corp.,
Class
 A
(b)
1,279
39,649
7,051,112
Financial
Services
(
3
.1
%
)
Affirm
Holdings,
Inc.,
Class
 A
(a)
2,367
144,150
Apollo
Global
Management,
Inc.
4,247
701,435
Corpay,
Inc.
(a)
616
208,467
Equitable
Holdings,
Inc.
3,276
154,529
Essent
Group
Ltd.
1,080
58,795
Euronet
Worldwide,
Inc.
(a)
373
38,359
Fidelity
National
Information
Services,
Inc.
4,931
398,277
Fiserv,
Inc.
(a)
5,176
1,063,254
Jack
Henry
&
Associates,
Inc.
664
116,399
Jackson
Financial,
Inc.,
Class
 A
763
66,442
Mastercard,
Inc.,
Class
 A
7,495
3,946,642
MGIC
Investment
Corp.
2,620
62,120
Mr
Cooper
Group,
Inc.
(a)
648
62,214
PayPal
Holdings,
Inc.
(a)
9,157
781,550
PennyMac
Financial
Services,
Inc.
333
34,013
Radian
Group,
Inc.
1,542
48,912
Shift4
Payments,
Inc.,
Class
 A
(a)(b)
615
63,825
Toast,
Inc.,
Class
 A
(a)
3,739
136,287
Visa,
Inc.,
Class
 A
(b)
15,721
4,968,465
Voya
Financial,
Inc.
1,006
69,243
WEX,
Inc.
(a)
362
63,466
13,186,844
Food
Products
(
0
.9
%
)
Bunge
Global
SA
1,714
133,281
Campbell's
Co.
(The)
2,434
101,936
Conagra
Brands,
Inc.
5,885
163,309
Darling
Ingredients,
Inc.
(a)
1,949
65,662
Flowers
Foods,
Inc.
2,416
49,915
Freshpet,
Inc.
(a)(b)
593
87,829
General
Mills,
Inc.
6,856
437,207
Hershey
Co.
(The)
1,826
309,233
Hormel
Foods
Corp.
3,602
112,995
Ingredion,
Inc.
800
110,048
J.M.
Smucker
Co.
(The)
1,286
141,614
Kellanova
3,628
293,759
Kraft
Heinz
Co.
(The)
11,001
337,841
Lamb
Weston
Holdings,
Inc.
1,739
116,217
Lancaster
Colony
Corp.
238
41,207
McCormick
&
Co.,
Inc.
(Non-Voting)
3,280
250,067
Mondelez
International,
Inc.,
Class
 A
16,524
986,978
3,739,098
Gas
Utilities
(
0
.0
%
)
(c)
National
Fuel
Gas
Co.
932
56,554
Southwest
Gas
Holdings,
Inc.
642
45,396
Shares
Value
UGI
Corp.
2,225
$
62,811
164,761
Ground
Transportation
(
0
.8
%
)
JB
Hunt
Transport
Services,
Inc.
807
137,723
Knight-Swift
Transportation
Holdings,
Inc.,
Class
 A
1,578
83,697
Landstar
System,
Inc.
321
55,167
Lyft,
Inc.,
Class
 A
(a)
3,243
41,835
Old
Dominion
Freight
Line,
Inc.
1,855
327,222
Ryder
System,
Inc.
413
64,783
Saia,
Inc.
(a)
267
121,680
Uber
Technologies,
Inc.
(a)
18,509
1,116,463
Union
Pacific
Corp.
6,081
1,386,711
XPO,
Inc.
(a)
1,148
150,560
3,485,841
Health
Care
Equipment
&
Supplies
(
2
.6
%
)
Abbott
Laboratories
16,533
1,870,048
Align
Technology,
Inc.
(a)
669
139,493
Baxter
International,
Inc.
4,861
141,747
Becton
Dickinson
&
Co.
2,770
628,430
Boston
Scientific
Corp.
(a)
14,082
1,257,804
Cooper
Cos.,
Inc.
(The)
(a)
1,902
174,851
DENTSPLY
SIRONA,
Inc.
1,896
35,986
Dexcom,
Inc.
(a)
3,700
287,749
Edwards
Lifesciences
Corp.
(a)
5,563
411,829
GE
HealthCare
Technologies,
Inc.
4,245
331,874
Glaukos
Corp.
(a)
510
76,469
Globus
Medical,
Inc.,
Class
 A
(a)
1,084
89,658
Hologic,
Inc.
(a)
2,147
154,777
IDEXX
Laboratories,
Inc.
(a)
778
321,656
Inspire
Medical
Systems,
Inc.
(a)
282
52,277
Insulet
Corp.
(a)
670
174,917
Intuitive
Surgical,
Inc.
(a)
3,397
1,773,098
Medtronic
plc
12,294
982,045
Merit
Medical
Systems,
Inc.
(a)
546
52,809
Penumbra,
Inc.
(a)
356
84,543
ResMed,
Inc.
1,398
319,709
STERIS
plc
945
194,254
Stryker
Corp.
3,429
1,234,612
Teleflex,
Inc.
445
79,201
Zimmer
Biomet
Holdings,
Inc.
1,908
201,542
11,071,378
Health
Care
Providers
&
Services
(
1
.8
%
)
Centene
Corp.
(a)
4,792
290,299
Chemed
Corp.
141
74,702
Cigna
Group
(The)
2,619
723,211
CVS
Health
Corp.
12,050
540,924
DaVita,
Inc.
(a)
483
72,233
Elevance
Health,
Inc.
2,221
819,327
Encompass
Health
Corp.
952
87,917
Ensign
Group,
Inc.
(The)
531
70,549
HealthEquity,
Inc.
(a)
781
74,937
Henry
Schein,
Inc.
(a)
1,181
81,725
Humana,
Inc.
1,153
292,528
Labcorp
Holdings,
Inc.
800
183,456
Molina
Healthcare,
Inc.
(a)
543
158,040
Option
Care
Health,
Inc.
(a)
1,614
37,445
Quest
Diagnostics,
Inc.
1,066
160,817
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Health
Care
Providers
&
Services
(cont’d)
UnitedHealth
Group,
Inc.
8,347
$
4,222,413
7,890,523
Health
Care
REITs
(
0
.4
%
)
Alexandria
Real
Estate
Equities,
Inc.
1,798
175,395
Healthcare
Realty
Trust,
Inc.,
Class
 A
3,664
62,105
Healthpeak
Properties,
Inc.
7,256
147,079
Omega
Healthcare
Investors,
Inc.
2,802
106,056
Ventas,
Inc.
4,346
255,936
Welltower,
Inc.
(b)
6,477
816,296
1,562,867
Health
Care
Technology
(
0
.1
%
)
Doximity,
Inc.,
Class
 A
(a)
1,132
60,437
Veeva
Systems,
Inc.,
Class
 A
(a)
1,351
284,048
344,485
Hotel
&
Resort
REITs
(
0
.1
%
)
Host
Hotels
&
Resorts,
Inc.
7,181
125,811
Ryman
Hospitality
Properties,
Inc.
605
63,126
188,937
Hotels,
Restaurants
&
Leisure
(
1
.7
%
)
Airbnb,
Inc.,
Class
 A
(a)
3,811
500,804
Aramark
3,251
121,295
Booking
Holdings,
Inc.
302
1,500,463
Cava
Group,
Inc.
(a)
933
105,242
Chipotle
Mexican
Grill,
Inc.,
Class
 A
(a)
16,755
1,010,326
Choice
Hotels
International,
Inc.
(b)
253
35,921
Darden
Restaurants,
Inc.
1,450
270,701
Domino's
Pizza,
Inc.
425
178,398
Hilton
Worldwide
Holdings,
Inc.
2,271
561,300
Hyatt
Hotels
Corp.,
Class
 A
(b)
388
60,908
Marriott
International,
Inc.,
Class
 A
2,319
646,862
Planet
Fitness,
Inc.,
Class
 A
(a)
798
78,898
Starbucks
Corp.
13,761
1,255,691
Texas
Roadhouse,
Inc.,
Class
 A
823
148,494
Vail
Resorts,
Inc.
(b)
345
64,670
Wingstop,
Inc.
361
102,596
Wyndham
Hotels
&
Resorts,
Inc.
726
73,174
Yum!
Brands,
Inc.
3,449
462,718
7,178,461
Household
Durables
(
0
.4
%
)
DR
Horton,
Inc.
2,947
412,049
Installed
Building
Products,
Inc.
(b)
246
43,111
KB
Home
737
48,436
Lennar
Corp.,
Class
 A
2,528
344,743
Meritage
Homes
Corp.
368
56,606
Mohawk
Industries,
Inc.
(a)
443
52,775
NVR,
Inc.
(a)
30
245,367
PulteGroup,
Inc.
2,120
230,868
Taylor
Morrison
Home
Corp.,
Class
 A
(a)
1,050
64,270
Tempur
Sealy
International,
Inc.
1,436
81,407
Toll
Brothers,
Inc.
1,045
131,618
TopBuild
Corp.
(a)
305
94,959
Whirlpool
Corp.
(b)
459
52,546
1,858,755
Household
Products
(
1
.1
%
)
Church
&
Dwight
Co.,
Inc.
2,096
219,472
Clorox
Co.
(The)
1,058
171,830
Shares
Value
Colgate-Palmolive
Co.
6,992
$
635,643
Kimberly-Clark
Corp.
2,853
373,857
Procter
&
Gamble
Co.
(The)
20,162
3,380,159
4,780,961
Independent
Power
and
Renewable
Electricity
Producers
(
0
.0
%
)
(c)
AES
Corp.
(The)
7,386
95,058
Brookfield
Renewable
Corp.
1,404
38,834
Clearway
Energy,
Inc.,
Class
 C
(b)
966
25,116
159,008
Industrial
REITs
(
0
.3
%
)
Americold
Realty
Trust,
Inc.
2,948
63,087
EastGroup
Properties,
Inc.
509
81,689
First
Industrial
Realty
Trust,
Inc.
1,366
68,478
Prologis,
Inc.
9,597
1,014,403
Rexford
Industrial
Realty,
Inc.
2,310
89,305
STAG
Industrial,
Inc.
1,894
64,055
Terreno
Realty
Corp.
(b)
1,015
60,027
1,441,044
Insurance
(
2
.4
%
)
Aflac,
Inc.
5,245
542,543
Allstate
Corp.
(The)
2,766
533,257
American
Financial
Group,
Inc.
768
105,162
American
International
Group,
Inc.
6,530
475,384
Aon
plc,
Class
 A
2,200
790,152
Arch
Capital
Group
Ltd.
3,820
352,777
Arthur
J
Gallagher
&
Co.
2,063
585,583
Axis
Capital
Holdings
Ltd.
806
71,428
Brown
&
Brown,
Inc.
2,253
229,851
Cincinnati
Financial
Corp.
1,613
231,788
Everest
Group
Ltd.
451
163,469
First
American
Financial
Corp.
935
58,381
Globe
Life,
Inc.
876
97,692
Hanover
Insurance
Group,
Inc.
(The)
375
57,997
Hartford
Financial
Services
Group,
Inc.
(The)
3,034
331,920
Kinsale
Capital
Group,
Inc.
232
107,910
Lincoln
National
Corp.
1,774
56,254
Marsh
&
McLennan
Cos.,
Inc.
5,152
1,094,336
MetLife,
Inc.
6,131
502,006
Old
Republic
International
Corp.
2,454
88,810
Primerica,
Inc.
349
94,726
Principal
Financial
Group,
Inc.
2,387
184,778
Progressive
Corp.
(The)
6,133
1,469,528
Prudential
Financial,
Inc.
3,732
442,354
Reinsurance
Group
of
America,
Inc.
689
147,191
RenaissanceRe
Holdings
Ltd.
522
129,879
Ryan
Specialty
Holdings,
Inc.,
Class
 A
(b)
1,080
69,293
Selective
Insurance
Group,
Inc.
633
59,198
Travelers
Cos.,
Inc.
(The)
2,374
571,873
Unum
Group
1,902
138,903
W.
R.
Berkley
Corp.
3,056
178,837
White
Mountains
Insurance
Group
Ltd.
26
50,572
Willis
Towers
Watson
plc
1,055
330,468
10,344,300
Interactive
Media
&
Services
(
4
.1
%
)
Alphabet,
Inc.,
Class
 A
91,007
17,227,625
Pinterest,
Inc.,
Class
 A
(a)
5,350
155,150
Snap,
Inc.,
Class
 A
(a)
9,800
105,546
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Interactive
Media
&
Services
(cont’d)
ZoomInfo
Technologies,
Inc.,
Class
 A
(a)
2,535
$
26,643
17,514,964
IT
Services
(
1
.5
%
)
Accenture
plc,
Class
 A
5,712
2,009,424
Akamai
Technologies,
Inc.
(a)
1,352
129,319
Amdocs
Ltd.
1,040
88,546
Cloudflare,
Inc.,
Class
 A
(a)
2,752
296,335
Cognizant
Technology
Solutions
Corp.,
Class
 A
4,534
348,665
EPAM
Systems,
Inc.
(a)
502
117,378
Gartner,
Inc.
(a)
714
345,911
GoDaddy,
Inc.,
Class
 A
(a)
1,279
252,436
International
Business
Machines
Corp.
8,466
1,861,081
Kyndryl
Holdings,
Inc.
(a)
2,097
72,556
MongoDB,
Inc.,
Class
 A
(a)
652
151,792
Snowflake,
Inc.,
Class
 A
(a)
2,799
432,194
Twilio,
Inc.,
Class
 A
(a)
1,323
142,990
VeriSign,
Inc.
(a)
774
160,187
6,408,814
Leisure
Products
(
0
.0
%
)
(c)
Brunswick
Corp.
753
48,704
Hasbro,
Inc.
1,124
62,843
Mattel,
Inc.
(a)(b)
2,860
50,708
162,255
Life
Sciences
Tools
&
Services
(
1
.3
%
)
Agilent
Technologies,
Inc.
2,746
368,898
Avantor,
Inc.
(a)
6,367
134,153
Bio-Rad
Laboratories,
Inc.,
Class
 A
(a)(b)
184
60,446
Bio-Techne
Corp.
1,509
108,693
Bruker
Corp.
988
57,916
Charles
River
Laboratories
International,
Inc.
(a)
486
89,716
Danaher
Corp.
6,648
1,526,048
Illumina,
Inc.
(a)
1,511
201,915
IQVIA
Holdings,
Inc.
(a)
1,728
339,569
Medpace
Holdings,
Inc.
(a)
244
81,064
Mettler-Toledo
International,
Inc.
(a)(b)
199
243,512
PerkinElmer,
Inc.
(b)
1,164
129,914
Repligen
Corp.
(a)
499
71,826
Thermo
Fisher
Scientific,
Inc.
3,666
1,907,163
Waters
Corp.
(a)
570
211,459
West
Pharmaceutical
Services,
Inc.
691
226,344
5,758,636
Machinery
(
2
.5
%
)
AGCO
Corp.
(b)
719
67,212
Allison
Transmission
Holdings,
Inc.
999
107,952
Caterpillar,
Inc.
5,443
1,974,503
Chart
Industries,
Inc.
(a)
494
94,275
CNH
Industrial
NV
9,405
106,559
Cummins,
Inc.
1,565
545,559
Deere
&
Co.
2,938
1,244,831
Donaldson
Co.,
Inc.
1,380
92,943
Dover
Corp.
1,583
296,971
Esab
Corp.
657
78,801
Federal
Signal
Corp.
(b)
692
63,934
Flowserve
Corp.
1,516
87,200
Fortive
Corp.
4,007
300,525
Franklin
Electric
Co.,
Inc.
454
44,242
Graco,
Inc.
1,939
163,438
Shares
Value
IDEX
Corp.
876
$
183,338
Illinois
Tool
Works,
Inc.
3,412
865,147
Ingersoll
Rand,
Inc.
(b)
4,663
421,815
ITT,
Inc.
939
134,164
Lincoln
Electric
Holdings,
Inc.
(b)
625
117,169
Middleby
Corp.
(The)
(a)
616
83,437
Mueller
Industries,
Inc.
1,272
100,946
Nordson
Corp.
628
131,403
Oshkosh
Corp.
749
71,207
Otis
Worldwide
Corp.
4,626
428,414
PACCAR,
Inc.
5,969
620,895
Parker-Hannifin
Corp.
1,485
944,505
Pentair
plc
1,906
191,820
Snap-on,
Inc.
603
204,706
SPX
Technologies,
Inc.
(a)
518
75,379
Stanley
Black
&
Decker,
Inc.
1,782
143,077
Timken
Co.
(The)
(b)
733
52,314
Toro
Co.
(The)
1,186
94,999
Watts
Water
Technologies,
Inc.,
Class
 A
314
63,836
Westinghouse
Air
Brake
Technologies
Corp.
1,972
373,871
Xylem,
Inc.
2,798
324,624
10,896,011
Media
(
0
.6
%
)
Charter
Communications,
Inc.,
Class
 A
(a)
881
301,980
Comcast
Corp.,
Class
 A
34,747
1,304,055
Interpublic
Group
of
Cos.,
Inc.
(The)
3,533
98,995
Liberty
Broadband
Corp.,
Class
 C
(a)
1,190
88,964
New
York
Times
Co.
(The),
Class
 A
(b)
1,527
79,480
Nexstar
Media
Group,
Inc.,
Class
 A
(b)
278
43,916
Omnicom
Group,
Inc.
1,836
157,970
Paramount
Global,
Class
 B
5,799
60,658
Trade
Desk,
Inc.
(The),
Class
 A
(a)
4,097
481,520
2,617,538
Metals
&
Mining
(
0
.4
%
)
ATI,
Inc.
(a)
2,921
160,772
Carpenter
Technology
Corp.
1,122
190,415
Commercial
Metals
Co.
2,675
132,680
Nucor
Corp.
5,536
646,106
Reliance,
Inc.
(b)
1,276
343,576
Steel
Dynamics,
Inc.
3,389
386,583
1,860,132
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(
0
.1
%
)
AGNC
Investment
Corp.
(b)
7,735
71,239
Annaly
Capital
Management,
Inc.
5,243
95,947
Rithm
Capital
Corp.
5,431
58,818
Starwood
Property
Trust,
Inc.
(b)
3,333
63,160
289,164
Multi-Utilities
(
0
.7
%
)
Ameren
Corp.
(b)
2,767
246,650
CMS
Energy
Corp.
(b)
3,090
205,949
Consolidated
Edison,
Inc.
3,598
321,050
Dominion
Energy,
Inc.
8,730
470,198
DTE
Energy
Co.
2,149
259,492
NiSource,
Inc.
4,845
178,102
Public
Service
Enterprise
Group,
Inc.
5,179
437,574
Sempra
6,588
577,899
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Multi-Utilities
(cont’d)
WEC
Energy
Group,
Inc.
3,287
$
309,109
3,006,023
Office
REITs
(
0
.1
%
)
BXP,
Inc.
1,642
122,099
COPT
Defense
Properties
1,168
36,149
Vornado
Realty
Trust
1,842
77,438
235,686
Oil,
Gas
&
Consumable
Fuels
(
0
.2
%
)
Occidental
Petroleum
Corp.
(b)
15,794
780,382
Paper
&
Forest
Products
(
0
.0
%
)
(c)
Louisiana-Pacific
Corp.
592
61,302
Passenger
Airlines
(
0
.1
%
)
Alaska
Air
Group,
Inc.
(a)(b)
1,271
82,297
American
Airlines
Group,
Inc.
(a)(b)
6,522
113,678
Delta
Air
Lines,
Inc.
6,467
391,254
587,229
Personal
Care
Products
(
0
.2
%
)
BellRing
Brands,
Inc.
(a)
1,093
82,347
Coty,
Inc.,
Class
 A
(a)
3,129
21,778
elf
Beauty,
Inc.
(a)
464
58,255
Estee
Lauder
Cos.,
Inc.
(The),
Class
 A
1,990
149,210
Kenvue,
Inc.
16,421
350,588
662,178
Pharmaceuticals
(
2
.7
%
)
Bristol-Myers
Squibb
Co.
19,445
1,099,809
Elanco
Animal
Health,
Inc.
(a)
4,673
56,590
Eli
Lilly
&
Co.
7,560
5,836,320
Jazz
Pharmaceuticals
plc
(a)
556
68,471
Merck
&
Co.,
Inc.
24,249
2,412,291
Organon
&
Co.
2,466
36,793
Pfizer,
Inc.
54,354
1,442,012
Royalty
Pharma
plc,
Class
 A
3,657
93,290
Zoetis,
Inc.,
Class
 A
4,326
704,835
11,750,411
Professional
Services
(
0
.8
%
)
Automatic
Data
Processing,
Inc.
3,729
1,091,590
Booz
Allen
Hamilton
Holding
Corp.,
Class
 A
1,198
154,183
Broadridge
Financial
Solutions,
Inc.
1,063
240,334
Dayforce,
Inc.
(a)
1,363
99,008
Equifax,
Inc.
1,174
299,194
ExlService
Holdings,
Inc.
(a)
1,424
63,197
Exponent,
Inc.
(b)
477
42,501
FTI
Consulting,
Inc.
(a)
337
64,411
Genpact
Ltd.
1,482
63,652
Maximus,
Inc.
568
42,401
Parsons
Corp.
(a)
419
38,653
Paychex,
Inc.
2,949
413,509
Paycom
Software,
Inc.
453
92,851
Paylocity
Holding
Corp.
(a)
405
80,785
Robert
Half,
Inc.
954
67,219
Science
Applications
International
Corp.
(b)
445
49,742
SS&C
Technologies
Holdings,
Inc.
1,946
147,468
TransUnion
1,846
171,143
TriNet
Group,
Inc.
302
27,412
Shares
Value
Verisk
Analytics,
Inc.,
Class
 A
1,342
$
369,627
3,618,880
Real
Estate
Management
&
Development
(
0
.2
%
)
CBRE
Group,
Inc.,
Class
 A
(a)
3,164
415,401
CoStar
Group,
Inc.
(a)
3,856
276,051
Jones
Lang
LaSalle,
Inc.
(a)
490
124,039
Zillow
Group,
Inc.,
Class
 C
(a)(b)
1,858
137,585
953,076
Residential
REITs
(
0
.4
%
)
AvalonBay
Communities,
Inc.
(b)
1,476
324,676
Camden
Property
Trust
1,093
126,832
Equity
LifeStyle
Properties,
Inc.
1,931
128,605
Equity
Residential
3,915
280,940
Essex
Property
Trust,
Inc.
664
189,532
Invitation
Homes,
Inc.
6,351
203,041
Mid-America
Apartment
Communities,
Inc.
(b)
1,206
186,411
Sun
Communities,
Inc.
1,307
160,722
UDR,
Inc.
3,417
148,332
1,749,091
Retail
REITs
(
0
.4
%
)
Brixmor
Property
Group,
Inc.
3,120
86,861
Federal
Realty
Investment
Trust
877
98,180
Kimco
Realty
Corp.
6,869
160,941
Kite
Realty
Group
Trust
2,268
57,244
NNN
REIT,
Inc.
(b)
1,936
79,086
Realty
Income
Corp.
(b)
9,098
485,924
Regency
Centers
Corp.
1,875
138,619
Simon
Property
Group,
Inc.
3,367
579,831
1,686,686
Semiconductors
&
Semiconductor
Equipment
(
11
.2
%
)
Advanced
Micro
Devices,
Inc.
(a)
14,786
1,786,001
Allegro
MicroSystems,
Inc.
(a)(b)
1,122
24,527
Analog
Devices,
Inc.
4,516
959,469
Applied
Materials,
Inc.
7,515
1,222,164
Broadcom,
Inc.
40,279
9,338,283
Cirrus
Logic,
Inc.
(a)
484
48,197
Enphase
Energy,
Inc.
(a)
1,098
75,411
Entegris,
Inc.
1,377
136,406
First
Solar,
Inc.
(a)
857
151,038
Intel
Corp.
39,496
791,895
KLA
Corp.
1,216
766,226
Lam
Research
Corp.
11,744
848,269
Lattice
Semiconductor
Corp.
(a)(b)
1,250
70,812
Marvell
Technology,
Inc.
7,862
868,358
Microchip
Technology,
Inc.
4,817
276,255
Micron
Technology,
Inc.
10,169
855,823
MKS
Instruments,
Inc.
(b)
776
81,007
Monolithic
Power
Systems,
Inc.
428
253,247
NVIDIA
Corp.
190,763
25,617,563
ON
Semiconductor
Corp.
(a)
3,878
244,508
Onto
Innovation,
Inc.
(a)
449
74,835
Qorvo,
Inc.
(a)(b)
860
60,140
QUALCOMM,
Inc.
10,174
1,562,930
Rambus,
Inc.
(a)
971
51,327
Skyworks
Solutions,
Inc.
(b)
1,459
129,384
Teradyne,
Inc.
1,453
182,962
Texas
Instruments,
Inc.
8,348
1,565,333
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Semiconductors
&
Semiconductor
Equipment
(cont’d)
Universal
Display
Corp.
401
$
58,626
48,100,996
Software
(
10
.7
%
)
Adobe,
Inc.
(a)
4,018
1,786,724
Altair
Engineering,
Inc.,
Class
 A
(a)(b)
538
58,701
ANSYS,
Inc.
(a)
797
268,852
Appfolio,
Inc.,
Class
 A
(a)
203
50,084
AppLovin
Corp.,
Class
 A
(a)
1,899
614,953
Aspen
Technology,
Inc.
(a)
245
61,159
Atlassian
Corp.,
Class
 A
(a)
1,430
348,033
Autodesk,
Inc.
(a)
1,965
580,795
Bentley
Systems,
Inc.,
Class
 B
(b)
1,252
58,468
BILL
Holdings,
Inc.
(a)
905
76,663
Cadence
Design
Systems,
Inc.
(a)
2,477
744,239
CCC
Intelligent
Solutions
Holdings,
Inc.
(a)(b)
3,852
45,184
Clearwater
Analytics
Holdings,
Inc.,
Class
 A
(a)
1,589
43,729
CommVault
Systems,
Inc.
(a)
393
59,308
Confluent,
Inc.,
Class
 A
(a)
2,263
63,274
Crowdstrike
Holdings,
Inc.,
Class
 A
(a)
2,105
720,247
Datadog,
Inc.,
Class
 A
(a)
2,760
394,376
DocuSign,
Inc.,
Class
 A
(a)
1,842
165,670
Dolby
Laboratories,
Inc.,
Class
 A
539
42,096
Dropbox,
Inc.,
Class
 A
(a)
2,014
60,501
Dynatrace,
Inc.
(a)
2,700
146,745
Elastic
NV
(a)
786
77,877
Fair
Isaac
Corp.
(a)
225
447,959
Fortinet,
Inc.
(a)
5,793
547,323
Gen
Digital,
Inc.
5,114
140,021
Guidewire
Software,
Inc.
(a)
760
128,121
HashiCorp,
Inc.,
Class
 A
(a)
1,364
46,662
HubSpot,
Inc.
(a)
454
316,334
Intuit,
Inc.
2,502
1,572,507
Manhattan
Associates,
Inc.
(a)
554
149,713
MARA
Holdings,
Inc.
(a)(b)
2,873
48,180
Microsoft
Corp.
59,494
25,076,721
Nutanix,
Inc.,
Class
 A
(a)
2,288
139,980
Oracle
Corp.
14,836
2,472,271
Palo
Alto
Networks,
Inc.
(a)
5,946
1,081,934
PTC,
Inc.
(a)
1,088
200,051
Qualys,
Inc.
(a)
332
46,553
Roper
Technologies,
Inc.
979
508,933
Salesforce,
Inc.
8,540
2,855,178
SentinelOne,
Inc.,
Class
 A
(a)
2,492
55,322
ServiceNow,
Inc.
(a)
1,879
1,991,966
Smartsheet,
Inc.,
Class
 A
(a)
1,186
66,452
SPS
Commerce,
Inc.
(a)
340
62,557
Synopsys,
Inc.
(a)
1,395
677,077
Tenable
Holdings,
Inc.
(a)
1,082
42,609
Tyler
Technologies,
Inc.
(a)
389
224,313
Varonis
Systems,
Inc.,
Class
 B
(a)(b)
993
44,119
Workday,
Inc.,
Class
 A
(a)
1,931
498,256
Zscaler,
Inc.
(a)
867
156,415
46,065,205
Specialized
REITs
(
1
.1
%
)
American
Tower
Corp.
4,844
888,438
Crown
Castle,
Inc.
4,509
409,237
CubeSmart
2,333
99,969
Shares
Value
Digital
Realty
Trust,
Inc.
3,447
$
611,256
Equinix,
Inc.
(b)
994
937,233
Extra
Space
Storage,
Inc.
2,177
325,679
Iron
Mountain,
Inc.
2,669
280,539
Lamar
Advertising
Co.,
Class
 A
908
110,540
Public
Storage
1,648
493,477
SBA
Communications
Corp.,
Class
 A
1,103
224,791
Weyerhaeuser
Co.
6,125
172,419
4,553,578
Specialty
Retail
(
2
.1
%
)
Abercrombie
&
Fitch
Co.,
Class
 A
(a)
430
64,272
Asbury
Automotive
Group,
Inc.
(a)(b)
165
40,100
AutoNation,
Inc.
(a)
222
37,704
AutoZone,
Inc.
(a)
144
461,088
Bath
&
Body
Works,
Inc.
1,834
71,104
Best
Buy
Co.,
Inc.
1,694
145,345
Burlington
Stores,
Inc.
(a)
541
154,217
CarMax,
Inc.
(a)
1,322
108,087
Carvana
Co.,
Class
 A
(a)(b)
986
200,513
Chewy,
Inc.,
Class
 A
(a)
1,113
37,274
Dick's
Sporting
Goods,
Inc.
477
109,157
Five
Below,
Inc.
(a)
461
48,387
Floor
&
Decor
Holdings,
Inc.,
Class
 A
(a)
905
90,228
GameStop
Corp.,
Class
 A
(a)(b)
3,328
104,300
Gap,
Inc.
(The)
1,716
40,549
Home
Depot,
Inc.
(The)
8,505
3,308,360
Lithia
Motors,
Inc.,
Class
 A
224
80,064
Lowe's
Cos.,
Inc.
4,829
1,191,797
O'Reilly
Automotive,
Inc.
(a)
491
582,228
Penske
Automotive
Group,
Inc.
158
24,085
RH
(a)
128
50,380
Ross
Stores,
Inc.
2,768
418,715
Signet
Jewelers
Ltd.
358
28,894
TJX
Cos.,
Inc.
(The)
9,581
1,157,481
Tractor
Supply
Co.
4,609
244,554
Ulta
Beauty,
Inc.
(a)
402
174,842
Williams-Sonoma,
Inc.
1,015
187,958
9,161,683
Technology
Hardware,
Storage
&
Peripherals
(
7
.6
%
)
Apple,
Inc.
122,239
30,611,090
Dell
Technologies,
Inc.,
Class
 C
3,037
349,984
Hewlett
Packard
Enterprise
Co.
11,847
252,934
HP,
Inc.
8,811
287,503
NetApp,
Inc.
1,856
215,445
Pure
Storage,
Inc.,
Class
 A
(a)
2,840
174,461
Seagate
Technology
Holdings
plc
(b)
1,927
166,319
Super
Micro
Computer,
Inc.
(a)
4,594
140,025
Western
Digital
Corp.
(a)
3,153
188,013
32,385,774
Textiles,
Apparel
&
Luxury
Goods
(
0
.4
%
)
Columbia
Sportswear
Co.
285
23,920
Crocs,
Inc.
(a)
481
52,684
Deckers
Outdoor
Corp.
(a)
1,292
262,392
Levi
Strauss
&
Co.,
Class
 A
814
14,082
Lululemon
Athletica,
Inc.
(a)
910
347,993
NIKE,
Inc.,
Class
 B
10,028
758,819
PVH
Corp.
474
50,126
Ralph
Lauren
Corp.,
Class
 A
333
76,917
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Textiles,
Apparel
&
Luxury
Goods
(cont’d)
Skechers
USA,
Inc.,
Class
 A
(a)
1,118
$
75,174
Tapestry,
Inc.
1,988
129,876
VF
Corp.
3,146
67,513
1,859,496
Trading
Companies
&
Distributors
(
0
.6
%
)
Air
Lease
Corp.,
Class
 A
1,209
58,286
Applied
Industrial
Technologies,
Inc.
442
105,846
Beacon
Roofing
Supply,
Inc.
(a)
527
53,533
Boise
Cascade
Co.
326
38,748
Core
&
Main,
Inc.,
Class
 A
(a)
2,196
111,798
Fastenal
Co.
4,899
352,287
Ferguson
Enterprises,
Inc.
1,704
295,763
FTAI
Aviation
Ltd.
(b)
1,171
168,671
GATX
Corp.
405
62,759
MSC
Industrial
Direct
Co.,
Inc.,
Class
 A
(b)
375
28,009
SiteOne
Landscape
Supply,
Inc.
(a)
380
50,073
United
Rentals,
Inc.
757
533,261
Watsco,
Inc.
407
192,873
WESCO
International,
Inc.
401
72,565
WW
Grainger,
Inc.
391
412,133
2,536,605
Water
Utilities
(
0
.1
%
)
American
Water
Works
Co.,
Inc.
2,024
251,968
Essential
Utilities,
Inc.
2,852
103,584
355,552
Wireless
Telecommunication
Services
(
0
.2
%
)
T-Mobile
US,
Inc.
4,419
975,406
Total
Common
Stocks
(Cost
$341,313,479)
428,454,913
Short-Term
Investments
(1.4%)
Investment
Company
(0.2%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(d)
(Cost
$665,950)
665,950
665,950
Security
held
as
Collateral
on
Loaned
Securities
(
1
.2
%
)
Investment
Company
(1.2%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(d)
(Cost
$5,215,573)
5,215,573
5,215,573
Total
Short-Term
Investments
(Cost
$5,881,523)
5,881,523
Total
Investments
(
101
.2
%
)
(Cost
$
347,195,002
)
(e)
434,336,436
Liabilities
in
Excess
of
Other
Assets
(
-1.2%
)
(4,981,013)
NET
ASSETS
(100.0%)
$
429,355,423
(a)
Non-income
producing
security.
(b)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$15,233,308
and
$15,517,593,
respectively.
The
Fund
received
cash
collateral
of
$5,215,573,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$10,302,020
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(c)
Amount
is
less
than
0.05%.
(d)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$262
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(e)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$347,195,002.
The
aggregate
gross
unrealized
appreciation
is
$96,157,489
and
the
aggregate
gross
unrealized
depreciation
is
$9,016,055,
resulting
in
net
unrealized
appreciation
of
$87,141,434.
REIT
Real
Estate
Investment
Trust
Portfolio
Composition
*
Classification  
Percentage
of
Total
Investments
Other**
70
.6
%
Semiconductors
&
Semiconductor
Equipment
11
.2
Software
10
.7
Technology
Hardware,
Storage
&
Peripherals
7
.5
Total
Investments
100
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Diversity,
Equity
and
Inclusion
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Shares
Value
Common
Stocks
(99.8%)
Air
Freight
&
Logistics
(
0
.2
%
)
Expeditors
International
of
Washington,
Inc.
123
$
13,625
FedEx
Corp.
197
55,422
69,047
Automobile
Components
(
0
.1
%
)
Aptiv
plc
(a)
238
14,394
BorgWarner,
Inc.
182
5,786
Lear
Corp.
45
4,262
24,442
Automobiles
(
0
.0
%
)
(b)
Thor
Industries,
Inc.
(c)
44
4,211
Banks
(
4
.3
%
)
Bank
of
America
Corp.
5,950
261,503
Cadence
Bank
158
5,443
Citigroup,
Inc.
1,658
116,707
Citizens
Financial
Group,
Inc.
384
16,804
Comerica,
Inc.
115
7,113
Cullen/Frost
Bankers,
Inc.
52
6,981
East
West
Bancorp,
Inc.
120
11,491
Fifth
Third
Bancorp
591
24,987
Huntington
Bancshares,
Inc.
1,261
20,516
JPMorgan
Chase
&
Co.
2,460
589,687
KeyCorp
866
14,843
Old
National
Bancorp
277
6,012
Regions
Financial
Corp.
802
18,863
Synovus
Financial
Corp.
124
6,353
Truist
Financial
Corp.
1,166
50,581
U.S.
Bancorp
1,369
65,479
Wintrust
Financial
Corp.
57
7,108
Zions
Bancorp
NA
127
6,890
1,237,361
Beverages
(
1
.5
%
)
Celsius
Holdings,
Inc.
(a)(c)
146
3,846
Coca-Cola
Co.
(The)
3,404
211,933
Keurig
Dr
Pepper,
Inc.
988
31,734
PepsiCo,
Inc.
1,201
182,624
430,137
Biotechnology
(
2
.6
%
)
AbbVie,
Inc.
1,549
275,257
Alnylam
Pharmaceuticals,
Inc.
(a)(c)
112
26,355
Amgen,
Inc.
471
122,761
Biogen,
Inc.
(a)
125
19,115
Blueprint
Medicines
Corp.
(a)(c)
54
4,710
Gilead
Sciences,
Inc.
1,092
100,868
Halozyme
Therapeutics,
Inc.
(a)
110
5,259
Insmed,
Inc.
(a)
153
10,563
Moderna,
Inc.
(a)
301
12,516
Regeneron
Pharmaceuticals,
Inc.
(a)
93
66,247
Vertex
Pharmaceuticals,
Inc.
(a)
225
90,607
734,258
Broadline
Retail
(
0
.1
%
)
eBay,
Inc.
(c)
423
26,205
Etsy,
Inc.
(a)
93
4,919
Macy's,
Inc.
242
4,097
35,221
Shares
Value
Building
Products
(
0
.8
%
)
AAON,
Inc.
58
$
6,825
Allegion
plc
76
9,932
Armstrong
World
Industries,
Inc.
37
5,229
AZEK
Co.,
Inc.
(The),
Class
 A
(a)
124
5,886
Carrier
Global
Corp.
731
49,898
Fortune
Brands
Innovations,
Inc.
108
7,380
Johnson
Controls
International
plc
582
45,937
Masco
Corp.
191
13,861
Owens
Corning
76
12,944
Trane
Technologies
plc
197
72,762
Trex
Co.,
Inc.
(a)
90
6,213
236,867
Capital
Markets
(
2
.4
%
)
Ameriprise
Financial,
Inc.
85
45,257
Bank
of
New
York
Mellon
Corp.
(The)
639
49,095
Cboe
Global
Markets,
Inc.
92
17,977
Charles
Schwab
Corp.
(The)
1,309
96,879
CME
Group,
Inc.
316
73,385
Intercontinental
Exchange,
Inc.
500
74,505
Janus
Henderson
Group
plc
113
4,806
Jefferies
Financial
Group,
Inc.
138
10,819
LPL
Financial
Holdings,
Inc.
65
21,223
MarketAxess
Holdings,
Inc.
33
7,459
Moody's
Corp.
138
65,325
Morningstar,
Inc.
24
8,082
Nasdaq,
Inc.
361
27,909
Northern
Trust
Corp.
174
17,835
Raymond
James
Financial,
Inc.
161
25,008
S&P
Global,
Inc.
272
135,464
Tradeweb
Markets,
Inc.,
Class
 A
101
13,223
694,251
Chemicals
(
0
.4
%
)
Ashland,
Inc.
37
2,644
Balchem
Corp.
28
4,564
Ecolab,
Inc.
222
52,019
FMC
Corp.
(c)
108
5,250
International
Flavors
&
Fragrances,
Inc.
224
18,939
Mosaic
Co.
(The)
265
6,514
RPM
International,
Inc.
111
13,659
103,589
Commercial
Services
&
Supplies
(
0
.6
%
)
Clean
Harbors,
Inc.
(a)
45
10,356
Copart,
Inc.
(a)(c)
768
44,076
Republic
Services,
Inc.,
Class
 A
179
36,011
Tetra
Tech,
Inc.
234
9,323
Waste
Management,
Inc.
352
71,030
170,796
Communications
Equipment
(
1
.4
%
)
Arista
Networks,
Inc.
(a)
905
100,030
Ciena
Corp.
(a)
124
10,516
Cisco
Systems,
Inc.
3,489
206,549
Juniper
Networks,
Inc.
285
10,673
Motorola
Solutions,
Inc.
146
67,486
395,254
Construction
&
Engineering
(
0
.3
%
)
AECOM
118
12,605
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Diversity,
Equity
and
Inclusion
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Construction
&
Engineering
(cont’d)
EMCOR
Group,
Inc.
40
$
18,156
Quanta
Services,
Inc.
128
40,454
71,215
Construction
Materials
(
0
.0
%
)
(b)
Summit
Materials,
Inc.,
Class
 A
(a)
105
5,313
Consumer
Finance
(
1
.0
%
)
American
Express
Co.
492
146,021
Capital
One
Financial
Corp.
331
59,024
Discover
Financial
Services
219
37,937
FirstCash
Holdings,
Inc.
34
3,522
SoFi
Technologies,
Inc.
(a)(c)
937
14,430
Synchrony
Financial
342
22,230
283,164
Consumer
Staples
Distribution
&
Retail
(
1
.9
%
)
Casey's
General
Stores,
Inc.
32
12,679
Dollar
General
Corp.
189
14,330
Dollar
Tree,
Inc.
(a)
189
14,164
Kroger
Co.
(The)
630
38,524
Performance
Food
Group
Co.
(a)(c)
133
11,245
Sysco
Corp.
432
33,031
Target
Corp.
399
53,937
U.S.
Foods
Holding
Corp.
(a)
207
13,964
Walmart,
Inc.
3,819
345,047
536,921
Containers
&
Packaging
(
0
.2
%
)
Amcor
plc
(c)
1,233
11,602
Crown
Holdings,
Inc.
105
8,682
Graphic
Packaging
Holding
Co.
(c)
260
7,062
International
Paper
Co.
300
16,146
Silgan
Holdings,
Inc.
72
3,748
Sonoco
Products
Co.
85
4,152
51,392
Distributors
(
0
.0
%
)
(b)
Pool
Corp.
33
11,251
Diversified
Consumer
Services
(
0
.0
%
)
(b)
Service
Corp.
International
123
9,818
Diversified
Telecommunication
Services
(
1
.0
%
)
AT&T,
Inc.
6,286
143,132
Verizon
Communications,
Inc.
3,692
147,643
290,775
Electric
Utilities
(
0
.9
%
)
Alliant
Energy
Corp.
224
13,247
Eversource
Energy
320
18,378
Exelon
Corp.
878
33,048
IDACORP,
Inc.
46
5,027
NextEra
Energy,
Inc.
1,799
128,970
NRG
Energy,
Inc.
177
15,969
Portland
General
Electric
Co.
90
3,926
Xcel
Energy,
Inc.
(c)
502
33,895
252,460
Electrical
Equipment
(
0
.8
%
)
Eaton
Corp.
plc
346
114,827
Emerson
Electric
Co.
499
61,841
nVent
Electric
plc
144
9,815
Shares
Value
Rockwell
Automation,
Inc.
99
$
28,293
214,776
Electronic
Equipment,
Instruments
&
Components
(
0
.4
%
)
Amphenol
Corp.,
Class
 A
1,053
73,131
Badger
Meter,
Inc.
26
5,515
Itron,
Inc.
(a)
39
4,235
TD
SYNNEX
Corp.
66
7,740
Trimble,
Inc.
(a)
213
15,051
Zebra
Technologies
Corp.,
Class
 A
(a)
45
17,380
123,052
Energy
Equipment
&
Services
(
0
.1
%
)
Baker
Hughes
Co.,
Class
 A
872
35,769
Entertainment
(
1
.9
%
)
Electronic
Arts,
Inc.
208
30,431
Netflix,
Inc.
(a)
373
332,462
Walt
Disney
Co.
(The)
1,589
176,935
539,828
Financial
Services
(
3
.9
%
)
Equitable
Holdings,
Inc.
279
13,160
Fidelity
National
Information
Services,
Inc.
475
38,366
Fiserv,
Inc.
(a)
496
101,888
Jack
Henry
&
Associates,
Inc.
63
11,044
Mastercard,
Inc.,
Class
 A
717
377,551
MGIC
Investment
Corp.
224
5,311
Mr
Cooper
Group,
Inc.
(a)
55
5,280
PayPal
Holdings,
Inc.
(a)
879
75,023
Radian
Group,
Inc.
130
4,124
Visa,
Inc.,
Class
 A
1,510
477,220
1,108,967
Food
Products
(
0
.6
%
)
Conagra
Brands,
Inc.
406
11,266
Flowers
Foods,
Inc.
172
3,554
General
Mills,
Inc.
(c)
489
31,184
Hershey
Co.
(The)
129
21,846
J.M.
Smucker
Co.
(The)
91
10,021
Kellanova
257
20,809
Mondelez
International,
Inc.,
Class
 A
1,164
69,526
168,206
Gas
Utilities
(
0
.0
%
)
(b)
Southwest
Gas
Holdings,
Inc.
53
3,748
Ground
Transportation
(
0
.5
%
)
Lyft,
Inc.,
Class
 A
(a)
301
3,883
Union
Pacific
Corp.
531
121,089
XPO,
Inc.
(a)
100
13,115
138,087
Health
Care
Equipment
&
Supplies
(
2
.4
%
)
Abbott
Laboratories
1,513
171,135
Align
Technology,
Inc.
(a)
61
12,719
Baxter
International,
Inc.
435
12,685
Becton
Dickinson
&
Co.
253
57,398
Boston
Scientific
Corp.
(a)
1,289
115,134
Edwards
Lifesciences
Corp.
(a)
512
37,903
Hologic,
Inc.
(a)
193
13,913
IDEXX
Laboratories,
Inc.
(a)
71
29,354
Inspire
Medical
Systems,
Inc.
(a)
26
4,820
Insulet
Corp.
(a)
61
15,925
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Diversity,
Equity
and
Inclusion
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Health
Care
Equipment
&
Supplies
(cont’d)
Medtronic
plc
1,127
$
90,025
Penumbra,
Inc.
(a)
33
7,837
STERIS
plc
86
17,678
Stryker
Corp.
314
113,056
699,582
Health
Care
Providers
&
Services
(
2
.2
%
)
Centene
Corp.
(a)
434
26,292
Cigna
Group
(The)
240
66,274
CVS
Health
Corp.
1,096
49,199
Elevance
Health,
Inc.
203
74,887
HealthEquity,
Inc.
(a)
74
7,100
Henry
Schein,
Inc.
(a)
109
7,543
UnitedHealth
Group,
Inc.
805
407,217
638,512
Health
Care
REITs
(
0
.4
%
)
Healthpeak
Properties,
Inc.
612
12,405
Omega
Healthcare
Investors,
Inc.
236
8,933
Ventas,
Inc.
366
21,554
Welltower,
Inc.
(c)
546
68,812
111,704
Health
Care
Technology
(
0
.1
%
)
Veeva
Systems,
Inc.,
Class
 A
(a)
130
27,333
Hotel
&
Resort
REITs
(
0
.1
%
)
Host
Hotels
&
Resorts,
Inc.
(c)
609
10,670
Ryman
Hospitality
Properties,
Inc.
51
5,321
15,991
Hotels,
Restaurants
&
Leisure
(
1
.4
%
)
Booking
Holdings,
Inc.
29
144,084
Choice
Hotels
International,
Inc.
(c)
24
3,408
Hilton
Worldwide
Holdings,
Inc.
210
51,904
Hyatt
Hotels
Corp.,
Class
 A
(c)
36
5,651
Marriott
International,
Inc.,
Class
 A
214
59,693
Starbucks
Corp.
975
88,969
Texas
Roadhouse,
Inc.,
Class
 A
59
10,645
Vail
Resorts,
Inc.
32
5,999
Yum!
Brands,
Inc.
246
33,003
403,356
Household
Durables
(
0
.1
%
)
Meritage
Homes
Corp.
31
4,768
Tempur
Sealy
International,
Inc.
147
8,333
TopBuild
Corp.
(a)(c)
25
7,784
Whirlpool
Corp.
(c)
46
5,266
26,151
Household
Products
(
0
.4
%
)
Clorox
Co.
(The)
108
17,540
Colgate-Palmolive
Co.
718
65,273
Kimberly-Clark
Corp.
293
38,395
121,208
Independent
Power
and
Renewable
Electricity
Producers
(
0
.0
%
)
(b)
AES
Corp.
(The)
600
7,722
Clearway
Energy,
Inc.,
Class
 C
98
2,548
10,270
Industrial
REITs
(
0
.0
%
)
(b)
Rexford
Industrial
Realty,
Inc.
192
7,423
Shares
Value
Insurance
(
1
.8
%
)
Allstate
Corp.
(The)
230
$
44,342
American
Financial
Group,
Inc.
64
8,763
American
International
Group,
Inc.
549
39,967
Aon
plc,
Class
 A
184
66,085
Arch
Capital
Group
Ltd.
319
29,460
First
American
Financial
Corp.
86
5,370
Globe
Life,
Inc.
75
8,364
Hartford
Financial
Services
Group,
Inc.
(The)
254
27,788
Lincoln
National
Corp.
147
4,661
Marsh
&
McLennan
Cos.,
Inc.
431
91,549
MetLife,
Inc.
515
42,168
Old
Republic
International
Corp.
211
7,636
Primerica,
Inc.
29
7,871
Principal
Financial
Group,
Inc.
203
15,714
Prudential
Financial,
Inc.
313
37,100
Reinsurance
Group
of
America,
Inc.
57
12,177
RenaissanceRe
Holdings
Ltd.
43
10,699
Travelers
Cos.,
Inc.
(The)
199
47,937
Unum
Group
161
11,758
519,409
Interactive
Media
&
Services
(
6
.4
%
)
Alphabet,
Inc.,
Class
 A
9,658
1,828,259
Pinterest,
Inc.,
Class
 A
(a)
512
14,848
1,843,107
IT
Services
(
1
.7
%
)
Accenture
plc,
Class
 A
547
192,429
Akamai
Technologies,
Inc.
(a)
130
12,435
EPAM
Systems,
Inc.
(a)
49
11,457
Gartner,
Inc.
(a)
66
31,975
GoDaddy,
Inc.,
Class
 A
(a)
122
24,079
International
Business
Machines
Corp.
809
177,843
Twilio,
Inc.,
Class
 A
(a)
129
13,942
VeriSign,
Inc.
(a)
75
15,522
479,682
Leisure
Products
(
0
.0
%
)
(b)
Brunswick
Corp.
57
3,687
Mattel,
Inc.
(a)
296
5,248
8,935
Life
Sciences
Tools
&
Services
(
1
.6
%
)
Agilent
Technologies,
Inc.
252
33,854
Avantor,
Inc.
(a)(c)
568
11,968
Bio-Rad
Laboratories,
Inc.,
Class
 A
(a)(c)
17
5,585
Danaher
Corp.
608
139,566
IQVIA
Holdings,
Inc.
(a)
158
31,048
Medpace
Holdings,
Inc.
(a)
22
7,309
Thermo
Fisher
Scientific,
Inc.
335
174,277
Waters
Corp.
(a)
52
19,291
West
Pharmaceutical
Services,
Inc.
63
20,636
443,534
Machinery
(
1
.4
%
)
Chart
Industries,
Inc.
(a)
37
7,061
Cummins,
Inc.
118
41,135
Deere
&
Co.
222
94,061
Fortive
Corp.
306
22,950
Franklin
Electric
Co.,
Inc.
34
3,313
IDEX
Corp.
67
14,022
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Diversity,
Equity
and
Inclusion
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Machinery
(cont’d)
Ingersoll
Rand,
Inc.
354
$
32,023
ITT,
Inc.
71
10,144
Lincoln
Electric
Holdings,
Inc.
48
8,999
Middleby
Corp.
(The)
(a)
46
6,231
Otis
Worldwide
Corp.
352
32,599
Parker-Hannifin
Corp.
112
71,235
Stanley
Black
&
Decker,
Inc.
134
10,759
Toro
Co.
(The)
89
7,129
Westinghouse
Air
Brake
Technologies
Corp.
150
28,439
Xylem,
Inc.
212
24,596
414,696
Media
(
0
.7
%
)
Comcast
Corp.,
Class
 A
3,332
125,050
Interpublic
Group
of
Cos.,
Inc.
(The)
329
9,218
Omnicom
Group,
Inc.
166
14,283
Paramount
Global,
Class
 B
508
5,314
Trade
Desk,
Inc.
(The),
Class
 A
(a)
392
46,072
199,937
Metals
&
Mining
(
0
.0
%
)
(b)
ATI,
Inc.
(a)
107
5,889
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(
0
.0
%
)
(b)
Rithm
Capital
Corp.
428
4,635
Multi-Utilities
(
0
.4
%
)
CMS
Energy
Corp.
(c)
261
17,396
DTE
Energy
Co.
181
21,856
Public
Service
Enterprise
Group,
Inc.
437
36,922
Sempra
556
48,772
124,946
Passenger
Airlines
(
0
.1
%
)
Alaska
Air
Group,
Inc.
(a)
110
7,122
Delta
Air
Lines,
Inc.
565
34,183
41,305
Personal
Care
Products
(
0
.1
%
)
Estee
Lauder
Cos.,
Inc.
(The),
Class
 A
200
14,996
Pharmaceuticals
(
3
.9
%
)
Bristol-Myers
Squibb
Co.
1,781
100,733
Elanco
Animal
Health,
Inc.
(a)
403
4,880
Eli
Lilly
&
Co.
746
575,912
Merck
&
Co.,
Inc.
2,214
220,249
Organon
&
Co.
225
3,357
Pfizer,
Inc.
4,969
131,828
Royalty
Pharma
plc,
Class
 A
323
8,240
Zoetis,
Inc.,
Class
 A
394
64,194
1,109,393
Professional
Services
(
0
.8
%
)
Automatic
Data
Processing,
Inc.
357
104,504
Booz
Allen
Hamilton
Holding
Corp.,
Class
 A
111
14,286
Broadridge
Financial
Solutions,
Inc.
102
23,061
Dayforce,
Inc.
(a)(c)
133
9,661
Equifax,
Inc.
109
27,779
ExlService
Holdings,
Inc.
(a)
136
6,036
FTI
Consulting,
Inc.
(a)
31
5,925
Genpact
Ltd.
143
6,142
Maximus,
Inc.
52
3,882
Paycom
Software,
Inc.
42
8,609
Shares
Value
Paylocity
Holding
Corp.
(a)
38
$
7,580
Robert
Half,
Inc.
88
6,200
Science
Applications
International
Corp.
(c)
40
4,471
TriNet
Group,
Inc.
25
2,269
230,405
Real
Estate
Management
&
Development
(
0
.2
%
)
CoStar
Group,
Inc.
(a)
355
25,414
Jones
Lang
LaSalle,
Inc.
(a)
41
10,379
Zillow
Group,
Inc.,
Class
 C
(a)
178
13,181
48,974
Residential
REITs
(
0
.1
%
)
Equity
LifeStyle
Properties,
Inc.
163
10,856
Invitation
Homes,
Inc.
535
17,104
27,960
Retail
REITs
(
0
.4
%
)
Brixmor
Property
Group,
Inc.
262
7,294
Kimco
Realty
Corp.
580
13,589
NNN
REIT,
Inc.
(c)
160
6,536
Realty
Income
Corp.
(c)
764
40,805
Simon
Property
Group,
Inc.
284
48,908
117,132
Semiconductors
&
Semiconductor
Equipment
(
15
.4
%
)
Advanced
Micro
Devices,
Inc.
(a)
1,414
170,797
Analog
Devices,
Inc.
433
91,995
Broadcom,
Inc.
4,013
930,374
Cirrus
Logic,
Inc.
(a)
46
4,581
First
Solar,
Inc.
(a)
89
15,685
Intel
Corp.
3,779
75,769
Lam
Research
Corp.
1,120
80,898
Micron
Technology,
Inc.
971
81,719
MKS
Instruments,
Inc.
56
5,846
NVIDIA
Corp.
20,625
2,769,731
ON
Semiconductor
Corp.
(a)
374
23,581
QUALCOMM,
Inc.
972
149,319
Teradyne,
Inc.
137
17,251
4,417,546
Software
(
13
.8
%
)
Adobe,
Inc.
(a)
384
170,757
ANSYS,
Inc.
(a)
77
25,974
Appfolio,
Inc.,
Class
 A
(a)
20
4,934
Atlassian
Corp.,
Class
 A
(a)
137
33,343
Autodesk,
Inc.
(a)
189
55,863
BILL
Holdings,
Inc.
(a)
86
7,285
CommVault
Systems,
Inc.
(a)
37
5,584
Crowdstrike
Holdings,
Inc.,
Class
 A
(a)
201
68,774
DocuSign,
Inc.,
Class
 A
(a)
178
16,009
Dropbox,
Inc.,
Class
 A
(a)
196
5,888
Dynatrace,
Inc.
(a)
258
14,022
Fair
Isaac
Corp.
(a)
21
41,810
Gen
Digital,
Inc.
490
13,416
HubSpot,
Inc.
(a)
44
30,658
Intuit,
Inc.
240
150,840
MARA
Holdings,
Inc.
(a)(c)
275
4,612
Microsoft
Corp.
6,424
2,707,716
Nutanix,
Inc.,
Class
 A
(a)
219
13,398
Palo
Alto
Networks,
Inc.
(a)
569
103,535
Salesforce,
Inc.
818
273,482
Morgan
Stanley
ETF
Trust
Calvert
US
Large-Cap
Diversity,
Equity
and
Inclusion
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Software
(cont’d)
ServiceNow,
Inc.
(a)
180
$
190,822
Tenable
Holdings,
Inc.
(a)
102
4,017
Tyler
Technologies,
Inc.
(a)
37
21,336
3,964,075
Specialized
REITs
(
0
.9
%
)
American
Tower
Corp.
407
74,648
Crown
Castle,
Inc.
380
34,489
CubeSmart
196
8,398
Digital
Realty
Trust,
Inc.
(c)
291
51,603
Equinix,
Inc.
84
79,203
Weyerhaeuser
Co.
625
17,594
265,935
Specialty
Retail
(
2
.3
%
)
Bath
&
Body
Works,
Inc.
190
7,367
Best
Buy
Co.,
Inc.
174
14,929
Burlington
Stores,
Inc.
(a)
55
15,679
Dick's
Sporting
Goods,
Inc.
49
11,213
Home
Depot,
Inc.
(The)
871
338,810
Lowe's
Cos.,
Inc.
495
122,166
TJX
Cos.,
Inc.
(The)
983
118,756
Tractor
Supply
Co.
470
24,938
653,858
Technology
Hardware,
Storage
&
Peripherals
(
12
.0
%
)
Apple,
Inc.
13,246
3,317,063
Dell
Technologies,
Inc.,
Class
 C
291
33,535
Hewlett
Packard
Enterprise
Co.
1,136
24,254
HP,
Inc.
845
27,573
NetApp,
Inc.
179
20,778
Seagate
Technology
Holdings
plc
184
15,881
Western
Digital
Corp.
(a)
302
18,008
3,457,092
Textiles,
Apparel
&
Luxury
Goods
(
0
.2
%
)
Columbia
Sportswear
Co.
28
2,350
Crocs,
Inc.
(a)
47
5,148
Deckers
Outdoor
Corp.
(a)
133
27,011
PVH
Corp.
46
4,864
Skechers
USA,
Inc.,
Class
 A
(a)
115
7,733
VF
Corp.
322
6,910
54,016
Trading
Companies
&
Distributors
(
0
.2
%
)
Applied
Industrial
Technologies,
Inc.
34
8,142
Fastenal
Co.
502
36,099
GATX
Corp.
30
4,649
Watsco,
Inc.
31
14,690
63,580
Water
Utilities
(
0
.1
%
)
American
Water
Works
Co.,
Inc.
170
21,163
Wireless
Telecommunication
Services
(
0
.3
%
)
T-Mobile
US,
Inc.
424
93,590
Total
Common
Stocks
(Cost
$26,755,941)
28,667,496
Shares
Value
Short-Term
Investments
(0.8%)
Investment
Company
(0.2%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(d)
(Cost
$42,104)
42,104
$
42,104
Security
held
as
Collateral
on
Loaned
Securities
(
0
.6
%
)
Investment
Company
(0.6%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(d)
(Cost
$185,722)
185,722
185,722
Total
Short-Term
Investments
(Cost
$227,826)
227,826
Total
Investments
(
100
.6
%
)
(Cost
$
26,983,767
)
(e)
28,895,322
Liabilities
in
Excess
of
Other
Assets
(
-0.6%
)
(171,217)
NET
ASSETS
(100.0%)
$
28,724,105
(a)
Non-income
producing
security.
(b)
Amount
is
less
than
0.05%.
(c)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$379,768
and
$387,771,
respectively.
The
Fund
received
cash
collateral
of
$185,722,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$202,049
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(d)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$28
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(e)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$26,983,767.
The
aggregate
gross
unrealized
appreciation
is
$2,869,107
and
the
aggregate
gross
unrealized
depreciation
is
$957,552,
resulting
in
net
unrealized
appreciation
of
$1,911,555.
REIT
Real
Estate
Investment
Trust
Portfolio
Composition
*
Classification  
Percentage
of
Total
Investments
Other**
52
.4
%
Semiconductors
&
Semiconductor
Equipment
15
.4
Software
13
.8
Technology
Hardware,
Storage
&
Peripherals
12
.0
Interactive
Media
&
Services
6
.4
Total
Investments
100
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Shares
Value
Common
Stocks
(99.5%)
Aerospace
&
Defense
(
1
.1
%
)
Axon
Enterprise,
Inc.
(a)(b)
490
$
291,217
Curtiss-Wright
Corp.
279
99,008
HEICO
Corp.
(b)
743
176,641
Hexcel
Corp.
593
37,181
Moog,
Inc.,
Class
 A
207
40,746
Woodward,
Inc.
407
67,733
712,526
Air
Freight
&
Logistics
(
0
.4
%
)
CH
Robinson
Worldwide,
Inc.
1,159
119,748
Expeditors
International
of
Washington,
Inc.
1,216
134,696
GXO
Logistics,
Inc.
(a)
889
38,672
293,116
Automobile
Components
(
0
.6
%
)
Aptiv
plc
(a)
2,478
149,869
Autoliv,
Inc.
789
74,000
BorgWarner,
Inc.
2,181
69,334
Lear
Corp.
544
51,517
Modine
Manufacturing
Co.
(a)
516
59,820
404,540
Automobiles
(
0
.3
%
)
Harley-Davidson,
Inc.
1,269
38,235
Rivian
Automotive,
Inc.,
Class
 A
(a)(b)
7,423
98,726
Thor
Industries,
Inc.
(b)
507
48,525
185,486
Banks
(
3
.0
%
)
Bank
OZK
707
31,483
BOK
Financial
Corp.
149
15,861
Cadence
Bank
1,184
40,789
Citizens
Financial
Group,
Inc.
2,858
125,066
Comerica,
Inc.
853
52,758
Commerce
Bancshares,
Inc.
844
52,590
Cullen/Frost
Bankers,
Inc.
390
52,358
East
West
Bancorp,
Inc.
898
85,992
Fifth
Third
Bancorp
4,363
184,468
First
Citizens
BancShares,
Inc.,
Class
 A
67
141,572
First
Horizon
Corp.
3,425
68,980
FNB
Corp.
2,320
34,290
Home
BancShares,
Inc.
1,205
34,101
Huntington
Bancshares,
Inc.
9,393
152,824
KeyCorp
6,458
110,690
M&T
Bank
Corp.
1,081
203,239
Old
National
Bancorp
2,067
44,864
Pinnacle
Financial
Partners,
Inc.
497
56,852
Popular,
Inc.
457
42,985
Regions
Financial
Corp.
5,926
139,380
SouthState
Corp.
494
49,143
Synovus
Financial
Corp.
918
47,029
Webster
Financial
Corp.
1,111
61,349
Western
Alliance
Bancorp
710
59,313
Wintrust
Financial
Corp.
428
53,376
Zions
Bancorp
NA
951
51,592
1,992,944
Beverages
(
0
.1
%
)
Celsius
Holdings,
Inc.
(a)(b)
1,211
31,898
Shares
Value
Coca-Cola
Consolidated,
Inc.
43
$
54,179
86,077
Biotechnology
(
2
.2
%
)
Alnylam
Pharmaceuticals,
Inc.
(a)
906
213,191
Apellis
Pharmaceuticals,
Inc.
(a)
719
22,943
Biogen,
Inc.
(a)
1,025
156,743
BioMarin
Pharmaceutical,
Inc.
(a)
1,333
87,618
Blueprint
Medicines
Corp.
(a)(b)
436
38,028
Cytokinetics,
Inc.
(a)
804
37,820
Exact
Sciences
Corp.
(a)
1,292
72,597
Exelixis,
Inc.
(a)(b)
1,972
65,668
Halozyme
Therapeutics,
Inc.
(a)
892
42,646
Incyte
Corp.
(a)
1,124
77,635
Insmed,
Inc.
(a)
1,235
85,264
Ionis
Pharmaceuticals,
Inc.
(a)
1,031
36,044
Krystal
Biotech,
Inc.
(a)(b)
172
26,946
Madrigal
Pharmaceuticals,
Inc.
(a)
130
40,114
Neurocrine
Biosciences,
Inc.
(a)
698
95,277
REVOLUTION
Medicines,
Inc.
(a)
998
43,653
Roivant
Sciences
Ltd.
(a)
3,005
35,549
Sarepta
Therapeutics,
Inc.
(a)
630
76,602
United
Therapeutics
Corp.
(a)
311
109,733
Vaxcyte,
Inc.
(a)
851
69,663
Viking
Therapeutics,
Inc.
(a)
764
30,743
1,464,477
Broadline
Retail
(
0
.5
%
)
eBay,
Inc.
3,048
188,824
Etsy,
Inc.
(a)
712
37,658
Macy's,
Inc.
1,758
29,763
Ollie's
Bargain
Outlet
Holdings,
Inc.
(a)
391
42,904
299,149
Building
Products
(
1
.6
%
)
AAON,
Inc.
494
58,134
Advanced
Drainage
Systems,
Inc.
(b)
523
60,459
Allegion
plc
639
83,505
AO
Smith
Corp.
884
60,298
Armstrong
World
Industries,
Inc.
276
39,007
AZEK
Co.,
Inc.
(The),
Class
 A
(a)
895
42,486
Carlisle
Cos.,
Inc.
369
136,102
Fortune
Brands
Innovations,
Inc.
788
53,844
Lennox
International,
Inc.
237
144,404
Masco
Corp.
1,373
99,639
Owens
Corning
735
125,185
Simpson
Manufacturing
Co.,
Inc.
310
51,407
Trex
Co.,
Inc.
(a)
680
46,940
UFP
Industries,
Inc.
380
42,807
Zurn
Elkay
Water
Solutions
Corp.
908
33,868
1,078,085
Capital
Markets
(
5
.3
%
)
Affiliated
Managers
Group,
Inc.
193
35,690
Ameriprise
Financial,
Inc.
634
337,561
Ares
Management
Corp.,
Class
 A
1,228
217,393
Bank
of
New
York
Mellon
Corp.
(The)
4,729
363,329
Blue
Owl
Capital,
Inc.,
Class
 A
3,632
84,480
Carlyle
Group,
Inc.
(The)
1,428
72,100
Cboe
Global
Markets,
Inc.
682
133,263
Evercore,
Inc.,
Class
 A
232
64,308
FactSet
Research
Systems,
Inc.
288
138,321
Morgan
Stanley
ETF
Trust
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Capital
Markets
(cont’d)
Franklin
Resources,
Inc.
(b)
1,833
$
37,192
Hamilton
Lane,
Inc.,
Class
 A
282
41,750
Houlihan
Lokey,
Inc.,
Class
 A
350
60,781
Invesco
Ltd.
2,890
50,517
Janus
Henderson
Group
plc
844
35,895
Jefferies
Financial
Group,
Inc.
1,006
78,870
LPL
Financial
Holdings,
Inc.
486
158,684
MarketAxess
Holdings,
Inc.
280
63,291
Morningstar,
Inc.
207
69,709
MSCI,
Inc.,
Class
 A
514
308,405
Nasdaq,
Inc.
2,693
208,196
Northern
Trust
Corp.
1,277
130,892
Raymond
James
Financial,
Inc.
1,200
186,396
SEI
Investments
Co.
636
52,457
State
Street
Corp.
1,907
187,172
Stifel
Financial
Corp.
649
68,846
T
Rowe
Price
Group,
Inc.
1,420
160,588
TPG,
Inc.,
Class
 A
535
33,619
Tradeweb
Markets,
Inc.,
Class
 A
756
98,976
3,478,681
Chemicals
(
1
.5
%
)
Arcadium
Lithium
plc
(a)
15,836
81,239
Ashland,
Inc.
344
24,582
Axalta
Coating
Systems
Ltd.
(a)
1,601
54,786
Balchem
Corp.
239
38,956
Cabot
Corp.
395
36,067
Celanese
Corp.,
Class
 A
802
55,506
Eastman
Chemical
Co.
849
77,531
Element
Solutions,
Inc.
1,636
41,604
FMC
Corp.
(b)
914
44,430
International
Flavors
&
Fragrances,
Inc.
1,879
158,869
Mosaic
Co.
(The)
2,322
57,075
PPG
Industries,
Inc.
1,702
203,304
RPM
International,
Inc.
935
115,061
989,010
Commercial
Services
&
Supplies
(
0
.9
%
)
Brink's
Co.
(The)
330
30,614
Casella
Waste
Systems,
Inc.,
Class
 A
(a)
463
48,990
Clean
Harbors,
Inc.
(a)
381
87,683
MSA
Safety,
Inc.
272
45,090
Rollins,
Inc.
2,199
101,924
Tetra
Tech,
Inc.
1,996
79,521
Veralto
Corp.
1,684
171,515
565,337
Communications
Equipment
(
0
.4
%
)
Ciena
Corp.
(a)
1,009
85,573
F5,
Inc.
(a)
413
103,857
Juniper
Networks,
Inc.
2,323
86,997
276,427
Construction
&
Engineering
(
1
.4
%
)
AECOM
988
105,538
API
Group
Corp.
(a)
1,844
66,329
Comfort
Systems
USA,
Inc.
263
111,528
Dycom
Industries,
Inc.
(a)
211
36,727
EMCOR
Group,
Inc.
340
154,326
MasTec,
Inc.
(a)
461
62,760
Quanta
Services,
Inc.
972
307,200
Shares
Value
Valmont
Industries,
Inc.
146
$
44,774
WillScot
Holdings
Corp.
(a)
1,347
45,057
934,239
Construction
Materials
(
0
.5
%
)
Summit
Materials,
Inc.,
Class
 A
(a)
1,706
86,323
Vulcan
Materials
Co.
921
236,909
323,232
Consumer
Finance
(
1
.1
%
)
Ally
Financial,
Inc.
1,791
64,494
Credit
Acceptance
Corp.
(a)
41
19,248
Discover
Financial
Services
1,634
283,058
FirstCash
Holdings,
Inc.
254
26,314
OneMain
Holdings,
Inc.
776
40,453
SLM
Corp.
1,368
37,730
SoFi
Technologies,
Inc.
(a)
7,096
109,278
Synchrony
Financial
2,535
164,775
745,350
Consumer
Staples
Distribution
&
Retail
(
2
.0
%
)
Albertsons
Cos.,
Inc.,
Class
 A
3,048
59,863
BJ's
Wholesale
Club
Holdings,
Inc.
(a)
836
74,696
Casey's
General
Stores,
Inc.
268
106,190
Dollar
General
Corp.
1,400
106,148
Dollar
Tree,
Inc.
(a)
1,372
102,818
Kroger
Co.
(The)
4,906
300,002
Performance
Food
Group
Co.
(a)
1,102
93,174
Sprouts
Farmers
Market,
Inc.
(a)
722
91,744
Sysco
Corp.
3,444
263,328
U.S.
Foods
Holding
Corp.
(a)
1,680
113,333
1,311,296
Containers
&
Packaging
(
1
.8
%
)
Amcor
plc
(b)
10,606
99,802
AptarGroup,
Inc.
487
76,508
Avery
Dennison
Corp.
583
109,097
Ball
Corp.
2,190
120,735
Berry
Global
Group,
Inc.
846
54,711
Crown
Holdings,
Inc.
874
72,271
Graphic
Packaging
Holding
Co.
2,184
59,317
International
Paper
Co.
2,521
135,680
Packaging
Corp.
of
America
650
146,335
Sealed
Air
Corp.
1,054
35,657
Silgan
Holdings,
Inc.
621
32,323
Smurfit
WestRock
plc
3,752
202,083
Sonoco
Products
Co.
717
35,025
1,179,544
Distributors
(
0
.4
%
)
Genuine
Parts
Co.
885
103,332
LKQ
Corp.
1,649
60,601
Pool
Corp.
236
80,462
244,395
Diversified
Consumer
Services
(
0
.4
%
)
Bright
Horizons
Family
Solutions,
Inc.
(a)
437
48,441
Duolingo,
Inc.,
Class
 A
(a)
272
88,191
H&R
Block,
Inc.
1,027
54,267
Service
Corp.
International
1,065
85,008
275,907
Morgan
Stanley
ETF
Trust
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Diversified
REITs
(
0
.2
%
)
Essential
Properties
Realty
Trust,
Inc.
(b)
1,305
$
40,821
WP
Carey,
Inc.
1,619
88,203
129,024
Electric
Utilities
(
1
.7
%
)
Alliant
Energy
Corp.
1,918
113,431
Evergy,
Inc.
(b)
1,698
104,512
Eversource
Energy
2,737
157,186
Exelon
Corp.
6,989
263,066
IDACORP,
Inc.
398
43,493
NRG
Energy,
Inc.
1,485
133,977
Portland
General
Electric
Co.
786
34,285
Xcel
Energy,
Inc.
(b)
3,952
266,839
1,116,789
Electrical
Equipment
(
2
.0
%
)
Acuity
Brands,
Inc.
227
66,314
AMETEK,
Inc.
1,569
282,828
Atkore,
Inc.
254
21,196
Hubbell,
Inc.,
Class
 B
394
165,043
NEXTracker,
Inc.,
Class
 A
(a)(b)
1,025
37,443
nVent
Electric
plc
1,201
81,860
Regal
Rexnord
Corp.
485
75,238
Rockwell
Automation,
Inc.
814
232,633
Sensata
Technologies
Holding
plc
1,091
29,893
Vertiv
Holdings
Co.,
Class
 A
2,488
282,662
1,275,110
Electronic
Equipment,
Instruments
&
Components
(
2
.6
%
)
Arrow
Electronics,
Inc.
(a)
334
37,782
Avnet,
Inc.
550
28,776
Badger
Meter,
Inc.
216
45,818
CDW
Corp.
944
164,294
Cognex
Corp.
1,261
45,219
Coherent
Corp.
(a)
1,123
106,382
Corning,
Inc.
5,472
260,029
Insight
Enterprises,
Inc.
(a)
177
26,922
Itron,
Inc.
(a)
329
35,723
Jabil,
Inc.
(b)
768
110,515
Keysight
Technologies,
Inc.
(a)
1,269
203,840
Littelfuse,
Inc.
181
42,653
Novanta,
Inc.
(a)
263
40,179
TD
SYNNEX
Corp.
483
56,646
Teledyne
Technologies,
Inc.
(a)
340
157,804
Trimble,
Inc.
(a)
1,793
126,693
Vontier
Corp.
1,062
38,731
Zebra
Technologies
Corp.,
Class
 A
(a)
364
140,584
1,668,590
Energy
Equipment
&
Services
(
0
.4
%
)
Baker
Hughes
Co.,
Class
 A
6,768
277,623
Entertainment
(
2
.0
%
)
Electronic
Arts,
Inc.
1,658
242,565
Liberty
Media
Corp-Liberty
Formula
One,
Class
 A
(a)
1,878
157,827
Liberty
Media
Corp-Liberty
Live,
Class
 A
(a)
507
33,746
Live
Nation
Entertainment,
Inc.
(a)
1,170
151,515
ROBLOX
Corp.,
Class
 A
(a)
3,762
217,669
Roku,
Inc.,
Class
 A
(a)
902
67,055
Take-Two
Interactive
Software,
Inc.
(a)
1,148
211,324
Shares
Value
Warner
Bros
Discovery,
Inc.
(a)
17,719
$
187,290
Warner
Music
Group
Corp.,
Class
 A
(b)
1,019
31,589
1,300,580
Financial
Services
(
1
.9
%
)
Affirm
Holdings,
Inc.,
Class
 A
(a)
1,835
111,752
Corpay,
Inc.
(a)
477
161,426
Equitable
Holdings,
Inc.
2,040
96,227
Essent
Group
Ltd.
673
36,638
Euronet
Worldwide,
Inc.
(a)
289
29,721
Fidelity
National
Information
Services,
Inc.
3,648
294,649
Jack
Henry
&
Associates,
Inc.
515
90,279
Jackson
Financial,
Inc.,
Class
 A
475
41,363
MGIC
Investment
Corp.
1,632
38,695
Mr
Cooper
Group,
Inc.
(a)
404
38,788
PennyMac
Financial
Services,
Inc.
207
21,143
Radian
Group,
Inc.
960
30,451
Shift4
Payments,
Inc.,
Class
 A
(a)(b)
477
49,503
Toast,
Inc.,
Class
 A
(a)
2,896
105,559
Voya
Financial,
Inc.
627
43,156
WEX,
Inc.
(a)
281
49,265
1,238,615
Food
Products
(
2
.5
%
)
Bunge
Global
SA
1,004
78,071
Campbell's
Co.
(The)
1,425
59,679
Conagra
Brands,
Inc.
3,444
95,571
Darling
Ingredients,
Inc.
(a)
1,141
38,440
Flowers
Foods,
Inc.
1,414
29,213
Freshpet,
Inc.
(a)(b)
348
51,542
General
Mills,
Inc.
3,910
249,341
Hershey
Co.
(The)
1,069
181,035
Hormel
Foods
Corp.
2,109
66,159
Ingredion,
Inc.
469
64,516
J.M.
Smucker
Co.
(The)
753
82,921
Kellanova
2,123
171,899
Kraft
Heinz
Co.
(The)
6,438
197,711
Lamb
Weston
Holdings,
Inc.
1,018
68,033
Lancaster
Colony
Corp.
140
24,240
McCormick
&
Co.,
Inc.
(Non-Voting)
1,920
146,381
1,604,752
Gas
Utilities
(
0
.2
%
)
National
Fuel
Gas
Co.
671
40,716
Southwest
Gas
Holdings,
Inc.
463
32,739
UGI
Corp.
1,601
45,196
118,651
Ground
Transportation
(
1
.3
%
)
JB
Hunt
Transport
Services,
Inc.
731
124,752
Knight-Swift
Transportation
Holdings,
Inc.,
Class
 A
1,574
83,485
Landstar
System,
Inc.
316
54,308
Lyft,
Inc.,
Class
 A
(a)
2,513
32,418
Old
Dominion
Freight
Line,
Inc.
1,274
224,734
Ryder
System,
Inc.
412
64,626
Saia,
Inc.
(a)
242
110,287
XPO,
Inc.
(a)
989
129,707
824,317
Health
Care
Equipment
&
Supplies
(
3
.0
%
)
Align
Technology,
Inc.
(a)
494
103,004
Morgan
Stanley
ETF
Trust
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Health
Care
Equipment
&
Supplies
(cont’d)
Baxter
International,
Inc.
3,587
$
104,597
Cooper
Cos.,
Inc.
(The)
(a)
1,403
128,978
DENTSPLY
SIRONA,
Inc.
1,399
26,553
GE
HealthCare
Technologies,
Inc.
3,126
244,391
Glaukos
Corp.
(a)
377
56,527
Globus
Medical,
Inc.,
Class
 A
(a)
800
66,168
Hologic,
Inc.
(a)
1,585
114,263
IDEXX
Laboratories,
Inc.
(a)
575
237,728
Inspire
Medical
Systems,
Inc.
(a)
209
38,744
Insulet
Corp.
(a)
494
128,969
Merit
Medical
Systems,
Inc.
(a)
403
38,978
Penumbra,
Inc.
(a)
263
62,457
ResMed,
Inc.
1,032
236,008
STERIS
plc
697
143,275
Teleflex,
Inc.
328
58,378
Zimmer
Biomet
Holdings,
Inc.
1,408
148,727
1,937,745
Health
Care
Providers
&
Services
(
1
.8
%
)
Centene
Corp.
(a)
3,536
214,211
Chemed
Corp.
105
55,629
DaVita,
Inc.
(a)
357
53,390
Encompass
Health
Corp.
703
64,922
Ensign
Group,
Inc.
(The)
392
52,081
HealthEquity,
Inc.
(a)
606
58,146
Henry
Schein,
Inc.
(a)
871
60,273
Humana,
Inc.
851
215,907
Labcorp
Holdings,
Inc.
591
135,528
Molina
Healthcare,
Inc.
(a)
401
116,711
Option
Care
Health,
Inc.
(a)
1,191
27,631
Quest
Diagnostics,
Inc.
787
118,727
1,173,156
Health
Care
REITs
(
0
.8
%
)
Alexandria
Real
Estate
Equities,
Inc.
1,294
126,230
Healthcare
Realty
Trust,
Inc.,
Class
 A
2,637
44,697
Healthpeak
Properties,
Inc.
5,222
105,850
Omega
Healthcare
Investors,
Inc.
2,018
76,381
Ventas,
Inc.
3,129
184,267
537,425
Health
Care
Technology
(
0
.4
%
)
Doximity,
Inc.,
Class
 A
(a)
878
46,876
Veeva
Systems,
Inc.,
Class
 A
(a)
1,048
220,342
267,218
Hotel
&
Resort
REITs
(
0
.2
%
)
Host
Hotels
&
Resorts,
Inc.
5,168
90,543
Ryman
Hospitality
Properties,
Inc.
435
45,388
135,931
Hotels,
Restaurants
&
Leisure
(
1
.6
%
)
Aramark
1,903
71,001
Cava
Group,
Inc.
(a)
547
61,702
Choice
Hotels
International,
Inc.
(b)
202
28,680
Darden
Restaurants,
Inc.
849
158,500
Domino's
Pizza,
Inc.
250
104,940
Hyatt
Hotels
Corp.,
Class
 A
(b)
309
48,507
Planet
Fitness,
Inc.,
Class
 A
(a)
636
62,881
Texas
Roadhouse,
Inc.,
Class
 A
482
86,967
Vail
Resorts,
Inc.
275
51,549
Shares
Value
Wingstop,
Inc.
212
$
60,250
Wyndham
Hotels
&
Resorts,
Inc.
578
58,257
Yum!
Brands,
Inc.
1,947
261,209
1,054,443
Household
Durables
(
1
.6
%
)
Installed
Building
Products,
Inc.
(b)
177
31,019
KB
Home
531
34,897
Lennar
Corp.,
Class
 A
1,671
227,874
Meritage
Homes
Corp.
265
40,762
Mohawk
Industries,
Inc.
(a)
330
39,313
NVR,
Inc.
(a)
22
179,936
PulteGroup,
Inc.
1,526
166,182
Taylor
Morrison
Home
Corp.,
Class
 A
(a)
756
46,275
Tempur
Sealy
International,
Inc.
1,071
60,715
Toll
Brothers,
Inc.
752
94,714
TopBuild
Corp.
(a)(b)
220
68,495
Whirlpool
Corp.
(b)
343
39,267
1,029,449
Household
Products
(
0
.9
%
)
Church
&
Dwight
Co.,
Inc.
1,562
163,557
Clorox
Co.
(The)
788
127,979
Kimberly-Clark
Corp.
2,127
278,722
570,258
Independent
Power
and
Renewable
Electricity
Producers
(
0
.2
%
)
AES
Corp.
(The)
5,316
68,417
Brookfield
Renewable
Corp.
1,010
27,937
Clearway
Energy,
Inc.,
Class
 C
682
17,732
114,086
Industrial
REITs
(
0
.5
%
)
Americold
Realty
Trust,
Inc.
2,122
45,411
EastGroup
Properties,
Inc.
366
58,739
First
Industrial
Realty
Trust,
Inc.
983
49,278
Rexford
Industrial
Realty,
Inc.
1,662
64,253
STAG
Industrial,
Inc.
1,363
46,097
Terreno
Realty
Corp.
(b)
731
43,231
307,009
Insurance
(
4
.2
%
)
Allstate
Corp.
(The)
1,723
332,177
American
Financial
Group,
Inc.
479
65,589
Arch
Capital
Group
Ltd.
2,379
219,701
Axis
Capital
Holdings
Ltd.
502
44,487
Brown
&
Brown,
Inc.
1,795
183,126
Cincinnati
Financial
Corp.
1,005
144,418
Everest
Group
Ltd.
281
101,851
First
American
Financial
Corp.
745
46,518
Globe
Life,
Inc.
546
60,890
Hanover
Insurance
Group,
Inc.
(The)
234
36,190
Hartford
Financial
Services
Group,
Inc.
(The)
1,890
206,766
Kinsale
Capital
Group,
Inc.
145
67,444
Lincoln
National
Corp.
1,105
35,040
Old
Republic
International
Corp.
1,529
55,334
Primerica,
Inc.
217
58,898
Principal
Financial
Group,
Inc.
1,486
115,031
Prudential
Financial,
Inc.
2,324
275,464
Reinsurance
Group
of
America,
Inc.
429
91,647
RenaissanceRe
Holdings
Ltd.
326
81,112
Ryan
Specialty
Holdings,
Inc.,
Class
 A
(b)
673
43,180
Morgan
Stanley
ETF
Trust
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Insurance
(cont’d)
Selective
Insurance
Group,
Inc.
394
$
36,847
Unum
Group
1,184
86,468
W.
R.
Berkley
Corp.
1,903
111,364
White
Mountains
Insurance
Group
Ltd.
16
31,121
Willis
Towers
Watson
plc
657
205,799
2,736,462
Interactive
Media
&
Services
(
0
.3
%
)
Pinterest,
Inc.,
Class
 A
(a)
4,145
120,205
Snap,
Inc.,
Class
 A
(a)
7,592
81,766
ZoomInfo
Technologies,
Inc.,
Class
 A
(a)
1,964
20,641
222,612
IT
Services
(
2
.9
%
)
Akamai
Technologies,
Inc.
(a)
1,047
100,145
Amdocs
Ltd.
807
68,708
Cloudflare,
Inc.,
Class
 A
(a)
2,133
229,681
Cognizant
Technology
Solutions
Corp.,
Class
 A
3,442
264,690
EPAM
Systems,
Inc.
(a)
390
91,190
Gartner,
Inc.
(a)
525
254,347
GoDaddy,
Inc.,
Class
 A
(a)
990
195,396
Kyndryl
Holdings,
Inc.
(a)
1,625
56,225
MongoDB,
Inc.,
Class
 A
(a)
506
117,802
Snowflake,
Inc.,
Class
 A
(a)
2,022
312,217
Twilio,
Inc.,
Class
 A
(a)
1,025
110,782
VeriSign,
Inc.
(a)
600
124,176
1,925,359
Leisure
Products
(
0
.2
%
)
Brunswick
Corp.
478
30,917
Hasbro,
Inc.
838
46,853
Mattel,
Inc.
(a)
2,132
37,800
115,570
Life
Sciences
Tools
&
Services
(
2
.6
%
)
Agilent
Technologies,
Inc.
1,994
267,874
Avantor,
Inc.
(a)
4,698
98,987
Bio-Rad
Laboratories,
Inc.,
Class
 A
(a)(b)
136
44,677
Bio-Techne
Corp.
1,114
80,241
Bruker
Corp.
729
42,734
Charles
River
Laboratories
International,
Inc.
(a)
359
66,271
Illumina,
Inc.
(a)
1,115
148,997
IQVIA
Holdings,
Inc.
(a)
1,275
250,550
Medpace
Holdings,
Inc.
(a)
181
60,134
Mettler-Toledo
International,
Inc.
(a)
148
181,105
PerkinElmer,
Inc.
(b)
859
95,873
Repligen
Corp.
(a)
369
53,114
Waters
Corp.
(a)
421
156,183
West
Pharmaceutical
Services,
Inc.
510
167,056
1,713,796
Machinery
(
5
.0
%
)
AGCO
Corp.
457
42,720
Allison
Transmission
Holdings,
Inc.
635
68,618
Chart
Industries,
Inc.
(a)
314
59,924
CNH
Industrial
NV
5,976
67,708
Cummins,
Inc.
901
314,089
Donaldson
Co.,
Inc.
877
59,066
Dover
Corp.
1,006
188,726
Esab
Corp.
417
50,015
Federal
Signal
Corp.
440
40,652
Shares
Value
Flowserve
Corp.
964
$
55,449
Fortive
Corp.
2,546
190,950
Franklin
Electric
Co.,
Inc.
289
28,163
Graco,
Inc.
1,232
103,845
IDEX
Corp.
557
116,575
Ingersoll
Rand,
Inc.
2,772
250,755
ITT,
Inc.
597
85,299
Lincoln
Electric
Holdings,
Inc.
398
74,613
Middleby
Corp.
(The)
(a)
391
52,961
Mueller
Industries,
Inc.
809
64,202
Nordson
Corp.
399
83,487
Oshkosh
Corp.
476
45,253
Otis
Worldwide
Corp.
2,760
255,604
Pentair
plc
1,211
121,875
Snap-on,
Inc.
383
130,021
SPX
Technologies,
Inc.
(a)
329
47,876
Stanley
Black
&
Decker,
Inc.
1,132
90,888
Timken
Co.
(The)
(b)
466
33,258
Toro
Co.
(The)
754
60,395
Watts
Water
Technologies,
Inc.,
Class
 A
199
40,457
Westinghouse
Air
Brake
Technologies
Corp.
1,221
231,489
Xylem,
Inc.
1,775
205,936
3,260,869
Media
(
1
.5
%
)
Charter
Communications,
Inc.,
Class
 A
(a)
675
231,370
Interpublic
Group
of
Cos.,
Inc.
(The)
2,814
78,848
Liberty
Broadband
Corp.,
Class
 C
(a)
923
69,004
New
York
Times
Co.
(The),
Class
 A
(b)
1,216
63,293
Nexstar
Media
Group,
Inc.,
Class
 A
221
34,911
Omnicom
Group,
Inc.
1,463
125,877
Paramount
Global,
Class
 B
4,618
48,304
Trade
Desk,
Inc.
(The),
Class
 A
(a)
2,929
344,245
995,852
Metals
&
Mining
(
1
.1
%
)
ATI,
Inc.
(a)
1,567
86,248
Carpenter
Technology
Corp.
537
91,134
Commercial
Metals
Co.
1,488
73,805
Nucor
Corp.
1,655
193,155
Reliance,
Inc.
(b)
467
125,744
Steel
Dynamics,
Inc.
1,167
133,120
703,206
Mortgage
Real
Estate
Investment
Trusts
(REITs)
(
0
.3
%
)
AGNC
Investment
Corp.
(b)
4,817
44,365
Annaly
Capital
Management,
Inc.
3,266
59,768
Rithm
Capital
Corp.
3,382
36,627
Starwood
Property
Trust,
Inc.
(b)
2,076
39,340
180,100
Multi-Utilities
(
2
.5
%
)
Ameren
Corp.
1,991
177,478
CMS
Energy
Corp.
2,224
148,230
Consolidated
Edison,
Inc.
2,472
220,576
Dominion
Energy,
Inc.
5,623
302,855
DTE
Energy
Co.
1,547
186,800
NiSource,
Inc.
3,488
128,219
Public
Service
Enterprise
Group,
Inc.
3,363
284,140
WEC
Energy
Group,
Inc.
2,301
216,386
1,664,684
Morgan
Stanley
ETF
Trust
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Office
REITs
(
0
.3
%
)
BXP,
Inc.
1,182
$
87,893
COPT
Defense
Properties
841
26,029
Vornado
Realty
Trust
1,326
55,745
169,667
Paper
&
Forest
Products
(
0
.1
%
)
Louisiana-Pacific
Corp.
441
45,666
Magnera
Corp.
(a)
1
18
45,684
Passenger
Airlines
(
0
.7
%
)
Alaska
Air
Group,
Inc.
(a)
1,268
82,103
American
Airlines
Group,
Inc.
(a)
6,511
113,487
Delta
Air
Lines,
Inc.
4,449
269,164
464,754
Personal
Care
Products
(
0
.8
%
)
BellRing
Brands,
Inc.
(a)
815
61,402
Coty,
Inc.,
Class
 A
(a)
2,332
16,231
elf
Beauty,
Inc.
(a)
346
43,440
Estee
Lauder
Cos.,
Inc.
(The),
Class
 A
1,484
111,271
Kenvue,
Inc.
12,238
261,281
493,625
Pharmaceuticals
(
0
.3
%
)
Elanco
Animal
Health,
Inc.
(a)
3,448
41,755
Jazz
Pharmaceuticals
plc
(a)
411
50,615
Organon
&
Co.
1,820
27,154
Royalty
Pharma
plc,
Class
 A
2,699
68,852
188,376
Professional
Services
(
3
.0
%
)
Booz
Allen
Hamilton
Holding
Corp.,
Class
 A
954
122,780
Broadridge
Financial
Solutions,
Inc.
824
186,298
Dayforce,
Inc.
(a)
1,056
76,708
Equifax,
Inc.
896
228,346
ExlService
Holdings,
Inc.
(a)
1,104
48,995
Exponent,
Inc.
381
33,947
FTI
Consulting,
Inc.
(a)
269
51,414
Genpact
Ltd.
1,148
49,307
Maximus,
Inc.
452
33,742
Parsons
Corp.
(a)
325
29,981
Paychex,
Inc.
2,174
304,838
Paycom
Software,
Inc.
351
71,944
Paylocity
Holding
Corp.
(a)
315
62,833
Robert
Half,
Inc.
760
53,550
Science
Applications
International
Corp.
(b)
344
38,452
SS&C
Technologies
Holdings,
Inc.
1,508
114,276
TransUnion
1,470
136,284
TriNet
Group,
Inc.
240
21,785
Verisk
Analytics,
Inc.,
Class
 A
973
267,993
1,933,473
Real
Estate
Management
&
Development
(
1
.0
%
)
CBRE
Group,
Inc.,
Class
 A
(a)
2,089
274,265
CoStar
Group,
Inc.
(a)
2,930
209,759
Jones
Lang
LaSalle,
Inc.
(a)
353
89,358
Zillow
Group,
Inc.,
Class
 C
(a)(b)
1,440
106,632
680,014
Residential
REITs
(
1
.9
%
)
AvalonBay
Communities,
Inc.
(b)
1,023
225,029
Shares
Value
Camden
Property
Trust
787
$
91,324
Equity
LifeStyle
Properties,
Inc.
1,391
92,641
Equity
Residential
2,807
201,430
Essex
Property
Trust,
Inc.
478
136,440
Invitation
Homes,
Inc.
4,570
146,103
Mid-America
Apartment
Communities,
Inc.
868
134,167
Sun
Communities,
Inc.
942
115,838
UDR,
Inc.
2,459
106,745
1,249,717
Retail
REITs
(
0
.7
%
)
Brixmor
Property
Group,
Inc.
2,246
62,529
Federal
Realty
Investment
Trust
632
70,752
Kimco
Realty
Corp.
4,944
115,838
Kite
Realty
Group
Trust
1,632
41,192
NNN
REIT,
Inc.
(b)
1,394
56,945
Regency
Centers
Corp.
1,350
99,805
447,061
Semiconductors
&
Semiconductor
Equipment
(
1
.9
%
)
Allegro
MicroSystems,
Inc.
(a)(b)
869
18,996
Cirrus
Logic,
Inc.
(a)
376
37,442
Enphase
Energy,
Inc.
(a)
776
53,296
Entegris,
Inc.
1,067
105,697
First
Solar,
Inc.
(a)
606
106,802
Lattice
Semiconductor
Corp.
(a)
969
54,894
MKS
Instruments,
Inc.
493
51,464
Monolithic
Power
Systems,
Inc.
332
196,444
ON
Semiconductor
Corp.
(a)
3,004
189,402
Onto
Innovation,
Inc.
(a)
348
58,001
Qorvo,
Inc.
(a)
666
46,573
Rambus,
Inc.
(a)
752
39,751
Skyworks
Solutions,
Inc.
(b)
1,131
100,297
Teradyne,
Inc.
1,126
141,786
Universal
Display
Corp.
312
45,615
1,246,460
Software
(
6
.9
%
)
Altair
Engineering,
Inc.,
Class
 A
(a)
418
45,608
ANSYS,
Inc.
(a)
619
208,807
Appfolio,
Inc.,
Class
 A
(a)
157
38,735
AppLovin
Corp.,
Class
 A
(a)
1,325
429,075
Aspen
Technology,
Inc.
(a)
190
47,430
Atlassian
Corp.,
Class
 A
(a)
1,079
262,607
Autodesk,
Inc.
(a)
1,389
410,547
Bentley
Systems,
Inc.,
Class
 B
(b)
970
45,299
BILL
Holdings,
Inc.
(a)
701
59,382
CCC
Intelligent
Solutions
Holdings,
Inc.
(a)
2,985
35,014
Clearwater
Analytics
Holdings,
Inc.,
Class
 A
(a)
1,231
33,877
CommVault
Systems,
Inc.
(a)
305
46,028
Confluent,
Inc.,
Class
 A
(a)
1,753
49,014
Datadog,
Inc.,
Class
 A
(a)
2,042
291,781
DocuSign,
Inc.,
Class
 A
(a)
1,427
128,344
Dolby
Laboratories,
Inc.,
Class
 A
418
32,646
Dropbox,
Inc.,
Class
 A
(a)
1,561
46,892
Dynatrace,
Inc.
(a)
2,092
113,700
Elastic
NV
(a)
610
60,439
Fair
Isaac
Corp.
(a)
156
310,585
Fortinet,
Inc.
(a)
4,116
388,880
Gen
Digital,
Inc.
3,963
108,507
Guidewire
Software,
Inc.
(a)
590
99,462
Morgan
Stanley
ETF
Trust
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Software
(cont’d)
HashiCorp,
Inc.,
Class
 A
(a)
1,057
$
36,160
HubSpot,
Inc.
(a)
352
245,263
Manhattan
Associates,
Inc.
(a)
429
115,933
MARA
Holdings,
Inc.
(a)(b)
2,226
37,330
Nutanix,
Inc.,
Class
 A
(a)
1,773
108,472
PTC,
Inc.
(a)
844
155,186
Qualys,
Inc.
(a)
257
36,037
SentinelOne,
Inc.,
Class
 A
(a)
1,931
42,868
Smartsheet,
Inc.,
Class
 A
(a)
919
51,492
SPS
Commerce,
Inc.
(a)
264
48,573
Tenable
Holdings,
Inc.
(a)
839
33,040
Tyler
Technologies,
Inc.
(a)
302
174,145
Varonis
Systems,
Inc.,
Class
 B
(a)
769
34,167
Zscaler,
Inc.
(a)
672
121,235
4,532,560
Specialized
REITs
(
1
.7
%
)
Crown
Castle,
Inc.
2,937
266,562
CubeSmart
1,679
71,945
Extra
Space
Storage,
Inc.
1,487
222,455
Iron
Mountain,
Inc.
2,067
217,263
Lamar
Advertising
Co.,
Class
 A
653
79,496
SBA
Communications
Corp.,
Class
 A
794
161,817
Weyerhaeuser
Co.
4,326
121,777
1,141,315
Specialty
Retail
(
2
.3
%
)
Abercrombie
&
Fitch
Co.,
Class
 A
(a)
321
47,980
Asbury
Automotive
Group,
Inc.
(a)(b)
124
30,136
AutoNation,
Inc.
(a)
167
28,363
Bath
&
Body
Works,
Inc.
1,367
52,999
Best
Buy
Co.,
Inc.
1,262
108,280
Burlington
Stores,
Inc.
(a)
404
115,164
CarMax,
Inc.
(a)
985
80,534
Carvana
Co.,
Class
 A
(a)(b)
736
149,673
Chewy,
Inc.,
Class
 A
(a)
829
27,763
Dick's
Sporting
Goods,
Inc.
357
81,696
Five
Below,
Inc.
(a)
344
36,106
Floor
&
Decor
Holdings,
Inc.,
Class
 A
(a)
674
67,198
GameStop
Corp.,
Class
 A
(a)(b)
2,480
77,723
Gap,
Inc.
(The)
1,279
30,223
Lithia
Motors,
Inc.,
Class
 A
167
59,691
Penske
Automotive
Group,
Inc.
118
17,988
RH
(a)
96
37,785
Signet
Jewelers
Ltd.
267
21,549
Tractor
Supply
Co.
3,593
190,644
Ulta
Beauty,
Inc.
(a)
301
130,914
Williams-Sonoma,
Inc.
(b)
757
140,181
1,532,590
Technology
Hardware,
Storage
&
Peripherals
(
1
.7
%
)
Hewlett
Packard
Enterprise
Co.
9,179
195,972
HP,
Inc.
6,827
222,765
NetApp,
Inc.
1,438
166,923
Pure
Storage,
Inc.,
Class
 A
(a)
2,201
135,208
Seagate
Technology
Holdings
plc
1,494
128,947
Super
Micro
Computer,
Inc.
(a)
3,559
108,478
Western
Digital
Corp.
(a)
2,443
145,676
1,103,969
Shares
Value
Textiles,
Apparel
&
Luxury
Goods
(
1
.3
%
)
Columbia
Sportswear
Co.
212
$
17,793
Crocs,
Inc.
(a)
359
39,321
Deckers
Outdoor
Corp.
(a)
963
195,576
Levi
Strauss
&
Co.,
Class
 A
607
10,501
Lululemon
Athletica,
Inc.
(a)
678
259,274
PVH
Corp.
354
37,436
Ralph
Lauren
Corp.,
Class
 A
248
57,283
Skechers
USA,
Inc.,
Class
 A
(a)
834
56,078
Tapestry,
Inc.
(b)
1,483
96,884
VF
Corp.
2,344
50,302
820,448
Trading
Companies
&
Distributors
(
2
.6
%
)
Air
Lease
Corp.,
Class
 A
769
37,073
Applied
Industrial
Technologies,
Inc.
281
67,291
Beacon
Roofing
Supply,
Inc.
(a)
393
39,921
Boise
Cascade
Co.
243
28,883
Core
&
Main,
Inc.,
Class
 A
(a)
1,395
71,019
Fastenal
Co.
3,651
262,543
Ferguson
Enterprises,
Inc.
1,270
220,434
FTAI
Aviation
Ltd.
(b)
744
107,166
GATX
Corp.
258
39,980
MSC
Industrial
Direct
Co.,
Inc.,
Class
 A
280
20,913
SiteOne
Landscape
Supply,
Inc.
(a)
284
37,423
United
Rentals,
Inc.
429
302,205
Watsco,
Inc.
259
122,737
WESCO
International,
Inc.
300
54,288
WW
Grainger,
Inc.
292
307,783
1,719,659
Water
Utilities
(
0
.4
%
)
American
Water
Works
Co.,
Inc.
1,456
181,257
Essential
Utilities,
Inc.
2,053
74,565
255,822
Total
Common
Stocks
(Cost
$59,740,828)
65,064,293
Short-Term
Investments
(2.2%)
Investment
Company
(0.4%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(c)
(Cost
$253,127)
253,127
253,127
Security
held
as
Collateral
on
Loaned
Securities
(
1
.8
%
)
Investment
Company
(1.8%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(c)
(Cost
$1,201,136)
1,201,136
1,201,136
Total
Short-Term
Investments
(Cost
$1,454,263)
1,454,263
Total
Investments
(
101
.7
%
)
(Cost
$
61,195,091
)
(d)
66,518,556
Liabilities
in
Excess
of
Other
Assets
(
-1.7%
)
(1,143,799)
NET
ASSETS
(100.0%)
$
65,374,757
Morgan
Stanley
ETF
Trust
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
(a)
Non-income
producing
security.
(b)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$3,097,577
and
$3,163,802,
respectively.
The
Fund
received
cash
collateral
of
$1,201,136,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$1,962,666
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(c)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$64
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(d)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$61,195,091.
The
aggregate
gross
unrealized
appreciation
is
$7,795,745
and
the
aggregate
gross
unrealized
depreciation
is
$2,472,280,
resulting
in
net
unrealized
appreciation
of
$5,323,465.
REIT
Real
Estate
Investment
Trust
Portfolio
Composition
*
Classification  
Percentage
of
Total
Investments
Other**
87
.8
%
Software
6
.9
Capital
Markets
5
.3
Total
Investments
100
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Calvert
US
Select
Equity
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Shares
Value
Common
Stocks
(99.9%)
Aerospace
&
Defense
(
0
.0
%
)
(a)
Hexcel
Corp.
186
$
11,662
Air
Freight
&
Logistics
(
0
.2
%
)
Expeditors
International
of
Washington,
Inc.
590
65,354
Automobiles
(
1
.0
%
)
General
Motors
Co.
5,793
308,593
Banks
(
2
.0
%
)
Citizens
Financial
Group,
Inc.
3,750
164,100
Fifth
Third
Bancorp
2,368
100,119
Huntington
Bancshares,
Inc.
5,077
82,603
KeyCorp
972
16,660
Regions
Financial
Corp.
2,292
53,908
Truist
Financial
Corp.
4,872
211,347
628,737
Biotechnology
(
1
.6
%
)
Alnylam
Pharmaceuticals,
Inc.
(b)(c)
306
72,005
Amgen,
Inc.
795
207,209
Exact
Sciences
Corp.
(b)
606
34,051
Gilead
Sciences,
Inc.
1,190
109,920
Moderna,
Inc.
(b)
198
8,233
Regeneron
Pharmaceuticals,
Inc.
(b)
40
28,493
Vertex
Pharmaceuticals,
Inc.
(b)
131
52,754
512,665
Broadline
Retail
(
0
.4
%
)
eBay,
Inc.
(c)
1,854
114,855
Etsy,
Inc.
(b)
173
9,150
124,005
Building
Products
(
0
.8
%
)
Trane
Technologies
plc
662
244,510
Capital
Markets
(
5
.0
%
)
Charles
Schwab
Corp.
(The)
2,497
184,803
Intercontinental
Exchange,
Inc.
2,051
305,619
Morningstar,
Inc.
283
95,303
MSCI,
Inc.,
Class
 A
52
31,201
Nasdaq,
Inc.
1,644
127,098
S&P
Global,
Inc.
1,267
631,004
State
Street
Corp.
1,363
133,778
T
Rowe
Price
Group,
Inc.
(c)
506
57,224
1,566,030
Chemicals
(
2
.3
%
)
Ecolab,
Inc.
894
209,482
FMC
Corp.
(c)
1,026
49,874
Linde
plc
452
189,239
Mosaic
Co.
(The)
3,457
84,973
Sherwin-Williams
Co.
(The)
503
170,985
704,553
Commercial
Services
&
Supplies
(
0
.6
%
)
Cintas
Corp.
270
49,329
Copart,
Inc.
(b)
180
10,330
MSA
Safety,
Inc.
414
68,629
Tetra
Tech,
Inc.
713
28,406
Veralto
Corp.
158
16,092
172,786
Shares
Value
Communications
Equipment
(
1
.1
%
)
Ciena
Corp.
(b)
253
$
21,457
Cisco
Systems,
Inc.
4,150
245,680
Lumentum
Holdings,
Inc.
(b)(c)
179
15,027
Motorola
Solutions,
Inc.
132
61,014
343,178
Construction
Materials
(
0
.1
%
)
CRH
plc
436
40,339
Consumer
Finance
(
2
.0
%
)
American
Express
Co.
974
289,073
Capital
One
Financial
Corp.
821
146,401
Discover
Financial
Services
1,012
175,309
610,783
Consumer
Staples
Distribution
&
Retail
(
0
.5
%
)
Target
Corp.
1,184
160,053
Containers
&
Packaging
(
0
.4
%
)
Ball
Corp.
2,067
113,954
Distributors
(
0
.1
%
)
Genuine
Parts
Co.
229
26,738
Diversified
Consumer
Services
(
0
.4
%
)
Bright
Horizons
Family
Solutions,
Inc.
(b)
620
68,727
Service
Corp.
International
699
55,794
124,521
Diversified
Telecommunication
Services
(
0
.9
%
)
Verizon
Communications,
Inc.
7,069
282,689
Electric
Utilities
(
0
.7
%
)
Eversource
Energy
3,338
191,701
NextEra
Energy,
Inc.
469
33,623
225,324
Electrical
Equipment
(
2
.1
%
)
Eaton
Corp.
plc
1,260
418,156
Emerson
Electric
Co.
1,174
145,494
Rockwell
Automation,
Inc.
347
99,169
662,819
Entertainment
(
3
.1
%
)
Electronic
Arts,
Inc.
199
29,114
Netflix,
Inc.
(b)
595
530,335
Walt
Disney
Co.
(The)
3,652
406,650
966,099
Financial
Services
(
3
.8
%
)
Fidelity
National
Information
Services,
Inc.
568
45,877
Mastercard,
Inc.,
Class
 A
946
498,135
MGIC
Investment
Corp.
1,902
45,097
PayPal
Holdings,
Inc.
(b)
1,211
103,359
Rocket
Cos.,
Inc.,
Class
 A
(b)(c)
1,443
16,248
Visa,
Inc.,
Class
 A
(c)
1,500
474,060
1,182,776
Food
Products
(
1
.9
%
)
Darling
Ingredients,
Inc.
(b)
1,842
62,057
General
Mills,
Inc.
(c)
4,516
287,985
J.M.
Smucker
Co.
(The)
1,161
127,850
McCormick
&
Co.,
Inc.
(Non-Voting)
1,446
110,243
588,135
Morgan
Stanley
ETF
Trust
Calvert
US
Select
Equity
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Ground
Transportation
(
0
.2
%
)
Knight-Swift
Transportation
Holdings,
Inc.,
Class
 A
1,050
$
55,692
Health
Care
Equipment
&
Supplies
(
2
.6
%
)
Boston
Scientific
Corp.
(b)
3,000
267,960
Edwards
Lifesciences
Corp.
(b)
1,415
104,752
Hologic,
Inc.
(b)
1,161
83,697
IDEXX
Laboratories,
Inc.
(b)
228
94,264
Insulet
Corp.
(b)
96
25,063
ResMed,
Inc.
525
120,062
STERIS
plc
527
108,330
804,128
Health
Care
Providers
&
Services
(
0
.6
%
)
DaVita,
Inc.
(b)
348
52,044
Humana,
Inc.
509
129,138
181,182
Health
Care
REITs
(
0
.1
%
)
Ventas,
Inc.
692
40,752
Hotel
&
Resort
REITs
(
0
.0
%
)
(a)
Host
Hotels
&
Resorts,
Inc.
(c)
903
15,821
Hotels,
Restaurants
&
Leisure
(
0
.7
%
)
Darden
Restaurants,
Inc.
578
107,907
Planet
Fitness,
Inc.,
Class
 A
(b)
292
28,870
Vail
Resorts,
Inc.
405
75,917
212,694
Household
Products
(
0
.4
%
)
Church
&
Dwight
Co.,
Inc.
303
31,727
Clorox
Co.
(The)
578
93,873
125,600
Industrial
REITs
(
0
.6
%
)
Prologis,
Inc.
1,761
186,138
Insurance
(
4
.1
%
)
Hartford
Financial
Services
Group,
Inc.
(The)
594
64,984
MetLife,
Inc.
4,452
364,530
Primerica,
Inc.
263
71,383
Progressive
Corp.
(The)
1,328
318,202
Prudential
Financial,
Inc.
1,936
229,474
Travelers
Cos.,
Inc.
(The)
903
217,524
1,266,097
IT
Services
(
2
.3
%
)
Accenture
plc,
Class
 A
1,608
565,678
Akamai
Technologies,
Inc.
(b)
497
47,538
Snowflake,
Inc.,
Class
 A
(b)
241
37,213
Twilio,
Inc.,
Class
 A
(b)
381
41,178
VeriSign,
Inc.
(b)
133
27,526
719,133
Leisure
Products
(
0
.2
%
)
Hasbro,
Inc.
1,338
74,808
Life
Sciences
Tools
&
Services
(
0
.9
%
)
Agilent
Technologies,
Inc.
768
103,173
Danaher
Corp.
474
108,807
IQVIA
Holdings,
Inc.
(b)
141
27,708
Waters
Corp.
(b)
155
57,502
297,190
Shares
Value
Machinery
(
5
.2
%
)
Caterpillar,
Inc.
779
$
282,590
Cummins,
Inc.
978
340,931
Deere
&
Co.
423
179,225
Illinois
Tool
Works,
Inc.
696
176,478
Parker-Hannifin
Corp.
764
485,927
Pentair
plc
768
77,291
Stanley
Black
&
Decker,
Inc.
344
27,620
Xylem,
Inc.
362
41,999
1,612,061
Media
(
0
.8
%
)
Interpublic
Group
of
Cos.,
Inc.
(The)
2,775
77,755
Omnicom
Group,
Inc.
1,989
171,134
248,889
Metals
&
Mining
(
0
.5
%
)
Nucor
Corp.
1,346
157,092
Multi-Utilities
(
0
.5
%
)
Consolidated
Edison,
Inc.
1,649
147,140
Office
REITs
(
0
.1
%
)
BXP,
Inc.
397
29,521
Personal
Care
Products
(
0
.3
%
)
Estee
Lauder
Cos.,
Inc.
(The),
Class
 A
1,078
80,828
Pharmaceuticals
(
5
.1
%
)
Bristol-Myers
Squibb
Co.
2,237
126,525
Eli
Lilly
&
Co.
1,075
829,900
Merck
&
Co.,
Inc.
5,657
562,758
Pfizer,
Inc.
3,255
86,355
1,605,538
Professional
Services
(
2
.5
%
)
Automatic
Data
Processing,
Inc.
895
261,993
FTI
Consulting,
Inc.
(b)
270
51,605
Genpact
Ltd.
777
33,372
ManpowerGroup,
Inc.
399
23,030
Paylocity
Holding
Corp.
(b)
125
24,934
Robert
Half,
Inc.
188
13,247
Verisk
Analytics,
Inc.,
Class
 A
1,354
372,932
781,113
Real
Estate
Management
&
Development
(
1
.2
%
)
CBRE
Group,
Inc.,
Class
 A
(b)
1,685
221,224
CoStar
Group,
Inc.
(b)
336
24,054
Jones
Lang
LaSalle,
Inc.
(b)
526
133,151
378,429
Residential
REITs
(
0
.2
%
)
Equity
Residential
788
56,547
Retail
REITs
(
0
.1
%
)
Brixmor
Property
Group,
Inc.
609
16,955
Semiconductors
&
Semiconductor
Equipment
(
10
.3
%
)
Advanced
Micro
Devices,
Inc.
(b)
1,191
143,861
Applied
Materials,
Inc.
1,192
193,855
First
Solar,
Inc.
(b)
58
10,222
Intel
Corp.
3,324
66,646
KLA
Corp.
93
58,601
Lam
Research
Corp.
643
46,444
Micron
Technology,
Inc.
1,126
94,764
Morgan
Stanley
ETF
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Select
Equity
ETF
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Investments
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Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Semiconductors
&
Semiconductor
Equipment
(cont’d)
NVIDIA
Corp.
17,473
$
2,346,449
ON
Semiconductor
Corp.
(b)
253
15,952
QUALCOMM,
Inc.
574
88,178
Texas
Instruments,
Inc.
748
140,257
3,205,229
Software
(
13
.1
%
)
Adobe,
Inc.
(b)
404
179,651
Autodesk,
Inc.
(b)
376
111,134
Cadence
Design
Systems,
Inc.
(b)
454
136,409
Fair
Isaac
Corp.
(b)
7
13,937
HubSpot,
Inc.
(b)
145
101,032
Intuit,
Inc.
321
201,748
Microsoft
Corp.
5,775
2,434,162
Palo
Alto
Networks,
Inc.
(b)
252
45,854
Salesforce,
Inc.
1,057
353,387
ServiceNow,
Inc.
(b)
343
363,621
Synopsys,
Inc.
(b)
130
63,097
Workday,
Inc.,
Class
 A
(b)
331
85,408
4,089,440
Specialized
REITs
(
0
.8
%
)
American
Tower
Corp.
1,044
191,480
Extra
Space
Storage,
Inc.
290
43,384
234,864
Specialty
Retail
(
3
.7
%
)
Best
Buy
Co.,
Inc.
845
72,501
Dick's
Sporting
Goods,
Inc.
95
21,740
Gap,
Inc.
(The)
1,637
38,682
Home
Depot,
Inc.
(The)
1,052
409,218
Lowe's
Cos.,
Inc.
895
220,886
TJX
Cos.,
Inc.
(The)
999
120,689
Tractor
Supply
Co.
1,635
86,753
Ulta
Beauty,
Inc.
(b)
244
106,123
Williams-Sonoma,
Inc.
493
91,294
1,167,886
Technology
Hardware,
Storage
&
Peripherals
(
8
.7
%
)
Apple,
Inc.
9,580
2,399,024
Dell
Technologies,
Inc.,
Class
 C
445
51,282
Hewlett
Packard
Enterprise
Co.
8,267
176,500
HP,
Inc.
2,397
78,214
2,705,020
Textiles,
Apparel
&
Luxury
Goods
(
1
.3
%
)
Deckers
Outdoor
Corp.
(b)
369
74,940
Lululemon
Athletica,
Inc.
(b)
352
134,608
NIKE,
Inc.,
Class
 B
1,063
80,437
Ralph
Lauren
Corp.,
Class
 A
130
30,028
Tapestry,
Inc.
1,088
71,079
391,092
Trading
Companies
&
Distributors
(
1
.2
%
)
Core
&
Main,
Inc.,
Class
 A
(b)
1,061
54,016
Ferguson
Enterprises,
Inc.
757
131,392
United
Rentals,
Inc.
256
180,337
365,745
Shares
Value
Water
Utilities
(
0
.6
%
)
American
Water
Works
Co.,
Inc.
1,616
$
201,176
Total
Common
Stocks
(Cost
$26,502,281)
31,120,103
Short-Term
Investments
(0.7%)
Investment
Company
(0.1%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(d)
(Cost
$35,556)
35,556
35,556
Security
held
as
Collateral
on
Loaned
Securities
(
0
.6
%
)
Investment
Company
(0.6%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(d)
(Cost
$192,450)
192,450
192,450
Total
Short-Term
Investments
(Cost
$228,006)
228,006
Total
Investments
(
100
.6
%
)
(Cost
$
26,730,287
)
(e)
31,348,109
Liabilities
in
Excess
of
Other
Assets
(
-0.6%
)
(175,177)
NET
ASSETS
(100.0%)
$
31,172,932
(a)
Amount
is
less
than
0.05%.
(b)
Non-income
producing
security.
(c)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$968,379
and
$986,867,
respectively.
The
Fund
received
cash
collateral
of
$192,450,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$794,417
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(d)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$17
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(e)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$26,730,287.
The
aggregate
gross
unrealized
appreciation
is
$5,780,907
and
the
aggregate
gross
unrealized
depreciation
is
$1,163,085,
resulting
in
net
unrealized
appreciation
of
$4,617,822.
REIT
Real
Estate
Investment
Trust
Portfolio
Composition
*
Classification  
Percentage
of
Total
Investments
Other**
52
.5
%
Software
13
.1
Semiconductors
&
Semiconductor
Equipment
10
.3
Technology
Hardware,
Storage
&
Peripherals
8
.7
Machinery
5
.2
Pharmaceuticals
5
.2
Capital
Markets
5
.0
Total
Investments
100
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Face
Amount
Value
Fixed
Income
Securities
(101.4%)
Asset-Backed
Securities
(
8
.6
%
)
ARES
LIV
CLO
Ltd.,
2019-54A
CME
Term
SOFR
3
Month
+
7.60%,
12.26%,
10/15/32(a)(b)
$
1,000,000
$
1,004,820
ARES
LVII
CLO
Ltd.,
2020-57A
CME
Term
SOFR
3
Month
+
6.53%,
11.16%,
1/25/35(a)(b)
2,750,000
2,717,652
ARES
LXI
CLO
Ltd.,
2021-61A
CME
Term
SOFR
3
Month
+
6.84%,
11.46%,
4/20/37(a)(b)
2,000,000
2,042,184
Ballyrock
CLO
15
Ltd.,
2021-1A
CME
Term
SOFR
3
Month
+
5.25%,
0.00%,
1/15/38(a)(b)
3,500,000
3,517,500
Ballyrock
CLO
16
Ltd.,
2021-16A
CME
Term
SOFR
3
Month
+
6.51%,
11.13%,
7/20/34(a)(b)
2,500,000
2,517,745
Barings
CLO
Ltd.,
2022-4A
CME
Term
SOFR
3
Month
+
6.75%,
11.37%,
10/20/37(a)(b)
3,750,000
3,877,747
2024-3A
CME
Term
SOFR
3
Month
+
5.90%,
11.16%,
7/20/37(a)(b)
3,000,000
3,074,250
Bear
Mountain
Park
CLO
Ltd.,
2022-1A
CME
Term
SOFR
3
Month
+
5.95%,
10.61%,
7/15/37(a)(b)
3,000,000
3,071,334
Benefit
Street
Partners
CLO
XV
Ltd.,
2018-15A
CME
Term
SOFR
3
Month
+
6.45%,
11.11%,
7/15/37(a)(b)
3,000,000
3,076,500
Benefit
Street
Partners
CLO
XVI
Ltd.,
2018-16A
CME
Term
SOFR
3
Month
+
4.90%,
9.22%,
1/17/38(a)(b)
3,000,000
3,015,000
BlueMountain
CLO
XXX
Ltd.,
2020-30A
CME
Term
SOFR
3
Month
+
6.70%,
11.36%,
4/15/35(a)(b)
2,000,000
1,975,532
BlueMountain
CLO
XXXIV
Ltd.,
2022-34A
CME
Term
SOFR
3
Month
+
7.55%,
12.17%,
4/20/35(a)(b)
1,000,000
1,008,829
Bryant
Park
Funding
Ltd.,
2023-19A
CME
Term
SOFR
3
Month
+
9.05%,
13.71%,
4/15/36(a)(b)
3,000,000
3,045,342
2024-23A
CME
Term
SOFR
3
Month
+
6.73%,
11.25%,
5/15/37(a)(b)
3,500,000
3,560,000
Face
Amount
Value
Canyon
Capital
CLO
Ltd.,
2019-1A
CME
Term
SOFR
3
Month
+
7.50%,
12.16%,
7/15/37(a)(b)
$
3,000,000
$
3,042,255
Canyon
CLO
Ltd.,
2020-2A
CME
Term
SOFR
3
Month
+
6.79%,
11.45%,
10/15/34(a)(b)
3,000,000
3,021,396
Carlyle
US
CLO
Ltd.,
2019-3A
CME
Term
SOFR
3
Month
+
7.34%,
11.96%,
4/20/37(a)(b)
2,000,000
2,047,316
2021-1A
CME
Term
SOFR
3
Month
+
7.30%,
11.87%,
1/15/40(a)(b)
4,000,000
4,042,092
2021-7A
CME
Term
SOFR
3
Month
+
6.51%,
11.17%,
10/15/35(a)(b)
1,000,000
1,006,997
CIFC
Funding
Ltd.,
2022-1A
CME
Term
SOFR
3
Month
+
6.40%,
11.05%,
4/17/35(a)(b)
1,000,000
1,005,699
Crown
Point
CLO
10
Ltd.,
2021-10A
CME
Term
SOFR
3
Month
+
7.11%,
11.73%,
7/20/34(a)(b)
3,000,000
3,010,533
Dryden
87
CLO
Ltd.,
2021-87A
CME
Term
SOFR
3
Month
+
6.41%,
10.93%,
5/20/34(a)(b)
2,500,000
2,482,728
Elmwood
CLO
VI
Ltd.,
2020-3A
CME
Term
SOFR
3
Month
+
5.90%,
10.53%,
7/18/37(a)(b)
3,000,000
3,102,786
Golub
Capital
Partners
CLO
52B
Ltd.,
2020-52A
CME
Term
SOFR
3
Month
+
6.75%,
11.37%,
4/20/37(a)(b)
4,000,000
4,066,972
Golub
Capital
Partners
CLO
74B
Ltd.,
2024-74A
CME
Term
SOFR
3
Month
+
6.10%,
11.41%,
7/25/37(a)(b)
2,500,000
2,555,727
Harvest
US
CLO
Ltd.,
2024-2A
CME
Term
SOFR
3
Month
+
6.90%,
11.71%,
10/15/37(a)(b)
3,000,000
3,075,999
2024-3A
CME
Term
SOFR
3
Month
+
6.70%,
11.05%,
1/18/38(a)(b)
3,000,000
3,014,199
Jamestown
CLO
XV
Ltd.,
2020-15A
CME
Term
SOFR
3
Month
+
7.06%,
11.72%,
7/15/35(a)(b)
2,000,000
2,014,178
Madison
Park
Funding
LIX
Ltd.,
2021-59A
CME
Term
SOFR
3
Month
+
6.40%,
11.03%,
4/18/37(a)(b)
1,500,000
1,521,728
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Asset-Backed
Securities
(8.6%)
(cont’d)
Madison
Park
Funding
XXII
Ltd.,
2016-22A
CME
Term
SOFR
3
Month
+
5.90%,
0.00%,
1/15/38(a)(b)
$
3,000,000
$
3,015,000
Marble
Point
CLO
XXIII
Ltd.,
2021-4A
CME
Term
SOFR
3
Month
+
7.55%,
12.18%,
1/22/35(a)(b)
1,250,000
1,228,240
Neuberger
Berman
CLO
XVII
Ltd.,
2014-17A
CME
Term
SOFR
3
Month
+
6.75%,
11.38%,
7/22/38(a)(b)
1,000,000
1,028,300
Neuberger
Berman
Loan
Advisers
CLO
59
Ltd.,
2024-59A
CME
Term
SOFR
3
Month
+
4.80%,
0.00%,
1/23/39(a)(b)
2,000,000
2,010,410
Neuberger
Berman
Loan
Advisers
CLO
60
Ltd.,
2021-46A
CME
Term
SOFR
3
Month
+
6.51%,
11.13%,
1/20/36(a)(b)
777,387
782,905
New
Mountain
CLO
6
Ltd.,
CLO-6A
CME
Term
SOFR
3
Month
+
6.10%,
10.74%,
10/15/37(a)(b)
2,000,000
2,017,428
Oaktree
CLO
Ltd.,
2019-4A
CME
Term
SOFR
3
Month
+
6.59%,
11.21%,
7/20/37(a)(b)
4,000,000
4,016,328
2021-2A
CME
Term
SOFR
3
Month
+
7.38%,
12.04%,
1/15/35(a)(b)
1,000,000
1,005,625
OCP
Aegis
CLO
Ltd.,
2023-29A
CME
Term
SOFR
3
Month
+
5.00%,
0.00%,
1/20/36(a)(b)
3,000,000
3,015,000
Octagon
60
Ltd.,
2022-1A
CME
Term
SOFR
3
Month
+
7.00%,
11.62%,
10/20/37(a)(b)
4,000,000
4,145,052
Post
CLO
Ltd.,
2018-1A
CME
Term
SOFR
3
Month
+
7.68%,
12.33%,
10/16/37(a)(b)
2,000,000
2,021,912
Regatta
VI
Funding
Ltd.,
2016-1A
CME
Term
SOFR
3
Month
+
7.01%,
11.63%,
4/20/34(a)(b)
1,000,000
1,007,580
RR
36
Ltd.,
2024-36RA
CME
Term
SOFR
3
Month
+
6.62%,
11.28%,
1/15/37(a)(b)
1,000,000
1,000,050
102,808,870
Corporate
Bonds
(
5
.7
%
)
Aerospace
&
Defense
(0.0%)(c)
Goat
Holdco
LLC
6.75%,
2/1/32(a)
400,000
396,534
Face
Amount
Value
Automobile
Components
(0.5%)
Clarios
Global
LP
6.25%,
5/15/26(a)
$
6,000,000
$
6,012,874
Building
Products
(0.2%)
Smyrna
Ready
Mix
Concrete
LLC
8.88%,
11/15/31(a)
2,800,000
2,944,788
Capital
Markets
(0.3%)
AG
Issuer
LLC
6.25%,
3/1/28(a)
1,150,000
1,145,511
Focus
Financial
Partners
LLC
6.75%,
9/15/31(a)
2,000,000
1,994,253
3,139,764
Chemicals
(0.4%)
INEOS
Finance
plc
7.50%,
4/15/29(a)(d)
1,750,000
1,793,526
Olympus
Water
US
Holding
Corp.
9.75%,
11/15/28(a)
3,300,000
3,505,479
5,299,005
Commercial
Services
&
Supplies
(0.2%)
Allied
Universal
Holdco
LLC
4.63%,
6/1/28(a)
800,000
754,280
Madison
IAQ
LLC
4.13%,
6/30/28(a)
1,300,000
1,231,709
1,985,989
Construction
&
Engineering
(0.2%)
Artera
Services
LLC
8.50%,
2/15/31(a)
2,100,000
2,026,315
Containers
&
Packaging
(0.0%)(c)
Pactiv
Evergreen
Group
Issuer
LLC
4.38%,
10/15/28(a)
300,000
300,041
Diversified
Telecommunication
Services
(0.3%)
Altice
France
SA
5.13%,
7/15/29(a)
2,500,000
1,874,845
Level
3
Financing,
Inc.
11.00%,
11/15/29(a)
1,500,000
1,689,254
3,564,099
Health
Care
Equipment
&
Supplies
(0.1%)
Bausch
+
Lomb
Corp.
8.38%,
10/1/28(a)
1,000,000
1,036,250
Hotel
&
Resort
REITs
(0.2%)
Park
Intermediate
Holdings
LLC
5.88%,
10/1/28(a)
2,300,000
2,249,436
Hotels,
Restaurants
&
Leisure
(1.0%)
Caesars
Entertainment,
Inc.
6.50%,
2/15/32(a)
2,500,000
2,513,321
Fertitta
Entertainment
LLC
4.63%,
1/15/29(a)
2,800,000
2,608,074
NCL
Corp.
Ltd.
5.88%,
2/15/27(a)
4,300,000
4,289,692
Sabre
GLBL,
Inc.
10.75%,
11/15/29(a)(d)
2,165,000
2,241,623
11,652,710
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(5.7%)
(cont’d)
Insurance
(0.7%)
Alliant
Holdings
Intermediate
LLC
7.00%,
1/15/31(a)
$
1,000,000
$
1,005,001
AmWINS
Group,
Inc.
6.38%,
2/15/29(a)
3,000,000
3,020,271
Panther
Escrow
Issuer
LLC
7.13%,
6/1/31(a)
2,000,000
2,022,169
Ryan
Specialty
LLC
5.88%,
8/1/32(a)
2,000,000
1,980,206
8,027,647
Oil,
Gas
&
Consumable
Fuels
(0.3%)
CITGO
Petroleum
Corp.
7.00%,
6/15/25(a)
3,400,000
3,413,552
Passenger
Airlines
(0.3%)
American
Airlines,
Inc.
5.75%,
4/20/29(a)
3,500,000
3,473,670
Professional
Services
(0.0%)(c)
CoreLogic,
Inc.
4.50%,
5/1/28(a)
600,000
561,430
Real
Estate
Management
&
Development
(0.1%)
Cushman
&
Wakefield
US
Borrower
LLC
6.75%,
5/15/28(a)
1,150,000
1,152,120
Software
(0.6%)
Central
Parent,
Inc.
7.25%,
6/15/29(a)
1,200,000
1,187,309
Cloud
Software
Group,
Inc.
8.25%,
6/30/32(a)
2,590,000
2,672,868
9.00%,
9/30/29(a)
2,150,000
2,185,569
GoTo
Group,
Inc.
5.50%,
5/1/28(a)
950,000
812,250
6,857,996
Technology
Hardware,
Storage
&
Peripherals
(0.3%)
Diebold
Nixdorf,
Inc.
7.75%,
3/31/30(a)(d)
3,400,000
3,498,778
Textiles,
Apparel
&
Luxury
Goods
(0.0%)(c)
Champ
Acquisition
Corp.
8.38%,
12/1/31(a)
725,000
741,370
68,334,368
Variable
Rate
Senior
Loan
Interests  (
87
.1
%
)
Aerospace
&
Defense
(1.6%)
Dynasty
Acquisition
Co.,
Inc.,
First
Lien,
2024
Specified
Refinancing
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
3.50%,
8.35%,
8/24/28(b)
2,123,718
2,136,163
GOAT
Holdco
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
3.00%,
7.17%,
12/10/31(b)
2,000,000
2,004,000
Signia
Aerospace
LLC,
First
Lien,
Delayed
Draw
Term
Loan,
TBD,
12/11/31(b)
226,923
227,350
Face
Amount
Value
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.40%,
11/21/31(b)
$
2,723,077
$
2,728,196
Standard
Aero
Ltd.,
First
Lien,
2024
Specified
Refinancing
Term
Loan,
B2,
CME
Term
SOFR
1
Month
+
3.50%,
8.35%,
8/24/28(b)
815,967
820,748
TransDigm,
Inc.,
First
Lien,
Term
Loan,
J,
CME
Term
SOFR
3
Month
+
2.50%,
6.83%,
2/28/31(b)
7,736,125
7,758,096
First
Lien,
Term
Loan,
1,
CME
Term
SOFR
3
Month
+
2.75%,
7.08%,
8/24/28(b)
2,984,962
2,997,872
18,672,425
Automobile
Components
(1.6%)
Adient
US
LLC,
First
Lien,
Term
Loan,
B2,
CME
Term
SOFR
1
Month
+
2.25%,
6.61%,
1/31/31(b)
8,539,480
8,583,714
Autokiniton
US
Holdings,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
4.00%,
8.47%,
4/06/28(b)
8,448,654
8,411,691
DexKo
Global,
Inc.,
First
Lien,
Closing
Date
Dollar
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.34%,
10/04/28(b)
2,278,105
2,159,382
19,154,787
Automobiles
(0.2%)
American
Trailer
World
Corp.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.75%,
8.21%,
3/03/28(b)
2,050,000
1,830,138
Banks
(0.6%)
Chrysaor
Bidco
SARL,
First
Lien,
USD
Delayed
Draw
Commitment
Term
Loan,
TBD,
5/14/31(b)
206,587
208,601
First
Lien,
USD
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.50%,
8.12%,
7/17/31(b)
2,793,413
2,820,649
Dragon
Buyer,
Inc.,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.58%,
9/30/31(b)
2,500,000
2,508,325
First
Advantage
Holdings
LLC,
First
Lien,
Term
Loan,
B2,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
10/31/31(b)
2,875,000
2,909,141
8,446,716
Beverages
(1.0%)
BrewCo
Borrower
LLC,
First
Lien,
First-Out
Exchanged
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
8.42%,
4/05/28(b)
1,067,201
760,381
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
First
Lien,
Second-Out
Exchanged
Term
Loan,
CME
Term
SOFR
3
Month
+
5.00%,
1.50%
PIK,
9.92%,
4/05/28(b)(e)
$
1,067,211
$
419,771
First
Lien,
First-
Out
New
Money
Term
Loan,
CME
Term
SOFR
3
Month
+
6.25%,
10.91%,
4/05/28(b)
23,406
17,788
Triton
Water
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.84%,
3/31/28(b)
10,721,122
10,819,006
12,016,946
Broadline
Retail
(0.4%)
Peer
Holding
III
BV,
First
Lien,
Term
Loan,
B5,
CME
Term
SOFR
3
Month
+
3.00%,
7.33%,
7/01/31(b)
4,975,000
5,009,203
Building
Products
(2.0%)
ACProducts
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.25%,
8.84%,
5/17/28(b)
1,237,179
1,005,208
AZEK
Group
LLC
(The),
First
Lien,
Closing
Date
Term
Loan,
CME
Term
SOFR
1
Month
+
2.00%,
6.36%,
9/26/31(b)
1,296,750
1,303,642
Chariot
Buyer
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.71%,
11/03/28(b)
7,049,564
7,100,251
Cornerstone
Building
Brands,
Inc.,
First
Lien,
New
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.25%,
7.75%,
4/12/28(b)
2,773,249
2,656,079
LHS
Borrower
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
4.75%,
9.21%,
2/19/29(b)
1,190,155
1,140,561
MIWD
Holdco
II
LLC,
First
Lien,
2024
Incremental
Term
Loan,
CME
Term
SOFR
1
Month
+
3.00%,
7.36%,
3/28/31(b)
447,750
452,881
Oldcastle
BuildingEnvelope,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
6
Month
+
4.25%,
8.50%,
4/30/29(b)
3,460,756
3,429,679
Quikrete
Holdings,
Inc.,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
2.50%,
6.86%,
4/14/31(b)
6,947,500
6,952,224
Standard
Building
Solutions,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
1.75%,
6.11%,
9/22/28(b)
169,488
170,114
24,210,639
Face
Amount
Value
Capital
Markets
(3.2%)
AAL
Delaware
Holdco,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
7/30/31(b)
$
3,990,000
$
4,027,426
AI
Aqua
Merger
Sub,
Inc.,
First
Lien,
Initial
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.50%,
8.05%,
7/31/28(b)
8,054,170
8,071,003
Aragorn
Parent
Corp.,
First
Lien,
2023
Replacement
Term
Loan,
CME
Term
SOFR
1
Month
+
4.00%,
8.34%,
12/15/28(b)
7,432,450
7,501,200
Aretec
Group,
Inc.,
First
Lien,
Term
Loan,
B3,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
8/09/30(b)
2,860,779
2,870,391
Edelman
Financial
Engines
Center
LLC
(The),
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.00%,
7.38%,
4/07/28(b)
4,282,856
4,314,078
Focus
Financial
Partners
LLC,
First
Lien,
2024
Delayed
Draw
Commitment
Term
Loan,
TBD,
9/11/31(b)
74,788
75,569
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
9/11/31(b)
696,337
703,603
Grant
Thornton
Advisors
LLC,
First
Lien,
Delayed
Draw
Term
Loan,
TBD,
6/02/31(b)
150,000
150,220
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
2.75%,
7.06%,
6/02/31(b)
1,050,000
1,051,543
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.82%,
5/31/31(b)
3,940,125
3,945,917
HDI
Aerospace
Intermediate
Holding
III
Corp.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
4.50%,
9.24%,
9/19/31(b)
1,175,000
1,180,875
WEC
US
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.25%,
6.80%,
1/27/31(b)
5,281,750
5,292,472
39,184,297
Chemicals
(4.5%)
A-AP
Buyer,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
9/09/31(b)
675,000
681,328
CPC
Acquisition
Corp.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.34%,
12/29/27(b)
2,000,000
1,796,250
Discovery
Purchaser
Corp.,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
4.38%,
8.95%,
10/04/29(b)
2,344,125
2,361,272
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
Gates
Global
LLC,
First
Lien,
Initial
Dollar
Term
Loan,
B5,
CME
Term
SOFR
1
Month
+
1.75%,
6.11%,
6/04/31(b)
$
7,462,500
$
7,487,238
INEOS
Enterprises
Holdings
US
Finco
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.75%,
8.36%,
7/07/30(b)
3,500,000
3,517,500
INEOS
US
Finance
LLC,
First
Lien,
2030
Dollar
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
8.50%,
2/18/30(b)
4,593,199
4,619,449
Lonza
Group
AG,
First
Lien,
USD
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.93%,
8.63%,
7/03/28(b)
1,196,004
1,175,755
LTI
Holdings,
Inc.,
First
Lien,
2024
Term
Loan,
CME
Term
SOFR
1
Month
+
4.75%,
9.11%,
7/29/29(b)
1,496,250
1,500,552
Minerals
Technologies,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
2.00%,
6.34%,
11/21/31(b)
1,025,000
1,030,125
Momentive
Performance
Materials,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
4.00%,
8.36%,
3/29/28(b)
2,480,061
2,511,061
Olympus
Water
US
Holding
Corp.,
First
Lien,
Dollar
Term
Loan,
B5,
CME
Term
SOFR
3
Month
+
3.50%,
8.10%,
6/20/31(b)
5,115,492
5,137,873
Paint
Intermediate
III
LLC,
First
Lien,
Initial
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.00%,
7.52%,
9/11/31(b)
925,000
931,554
Rohm
Holding
GmbH,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
5.50%,
10.59%,
1/31/29(b)
2,281,425
2,193,020
Tronox
Finance
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
2.25%,
6.42%,
4/04/29(b)
5,000,000
5,020,325
First
Lien,
2024
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
2.50%,
6.84%,
9/30/31(b)
3,750,000
3,765,713
Vibrantz
Technologies,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.25%,
9.06%,
4/23/29(b)
3,472,109
3,429,680
W.R.
Grace
Holdings
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.58%,
9/22/28(b)
6,933,634
7,001,237
54,159,932
Face
Amount
Value
Commercial
Services
&
Supplies
(7.9%)
Allied
Universal
Holdco
LLC,
First
Lien,
Initial
US
Dollar
Term
Loan,
CME
Term
SOFR
1
Month
+
3.75%,
8.21%,
5/12/28(b)
$
7,144,655
$
7,176,877
Amspec
Parent
LLC,
First
Lien,
Delayed
Draw
Term
Loan,
TBD,
12/12/31(b)
240,000
241,800
First
Lien,
Closing
Date
Term
Loan,
CME
Term
SOFR
1
Month
+
4.25%,
8.62%,
12/22/31(b)
1,560,000
1,571,700
APi
Group
DE,
Inc.,
First
Lien,
Repriced
2021
Incremental
Term
Loan,
CME
Term
SOFR
1
Month
+
2.00%,
6.36%,
1/03/29(b)
1,529,122
1,531,354
Camelot
US
Acquisition
LLC,
First
Lien,
Incremental
Term
Loan.
B,
CME
Term
SOFR
1
Month
+
2.75%,
7.11%,
1/31/31(b)
10,190,732
10,195,522
CCI
Buyer,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.33%,
12/17/27(b)
5,162,650
5,174,163
Ensemble
RCM
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.00%,
7.59%,
8/01/29(b)
6,515,203
6,571,005
Fugue
Finance
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
4.00%,
8.51%,
1/31/28(b)
7,944,710
8,029,956
GFL
Environmental,
Inc.,
First
Lien,
2024
Refinancing
Term
Loan,
CME
Term
SOFR
3
Month
+
2.00%,
6.61%,
7/03/31(b)
2,842,875
2,851,759
HomeServe
USA
Corp.,
First
Lien,
Amendment
No.
1
Refinancing
Term
Loan,
CME
Term
SOFR
1
Month
+
2.00%,
6.37%,
10/21/30(b)
5,517,715
5,529,440
JFL-Tiger
Acquisition
Co.,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.34%,
10/17/30(b)
2,577,976
2,601,333
Madison
IAQ
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
6
Month
+
2.75%,
7.89%,
6/21/28(b)
7,144,512
7,179,128
Neptune
Bidco
US,
Inc.,
First
Lien,
Dollar
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
5.00%,
9.76%,
4/11/29(b)
3,343,435
3,009,693
Northstar
Group
Services,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
4.75%,
9.90%,
5/31/30(b)
3,509,305
3,535,993
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
PG
Polaris
BidCo
SARL,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.33%,
3/26/31(b)
$
600,000
$
605,688
Prime
Security
Services
Borrower
LLC,
First
Lien,
2024-1
Refinancing
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
2.00%,
6.52%,
10/15/30(b)
3,241,875
3,253,351
Raven
Acquisition
Holdings
LLC,
First
Lien,
2024
Delayed
Draw
Term
Loan,
TBD,
10/24/31(b)
360,000
361,262
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
10/24/31(b)
5,040,000
5,057,665
Roper
Industrial
Products
Investment
Co.,
First
Lien,
Term
Loan,
C,
CME
Term
SOFR
3
Month
+
2.75%,
7.35%,
11/22/29(b)
3,523,605
3,536,819
SCUR-Alpha
1503
GmbH,
First
Lien,
USD
Term
Loan,
B1,
CME
Term
SOFR
3
Month
+
5.50%,
10.09%,
3/28/30(b)
2,276,590
2,176,989
Spin
Holdco,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.71%,
3/06/28(b)
2,779,921
2,353,606
Stepstone
Group
MidCo
2
GmbH
(The),
First
Lien,
Term
Loan,
CME
Term
SOFR
12
Month
+
4.50%,
8.67%,
12/04/31(b)
1,575,000
1,559,250
Teneo
Holdings
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
4.75%,
9.11%,
3/13/31(b)
1,994,975
2,015,763
Tidal
Waste
&
Recycling
Holdings
LLC,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
7.83%,
10/03/31(b)
1,150,000
1,160,425
TruGreen
LP,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
4.00%,
8.46%,
11/02/27(b)
1,537,601
1,501,083
WestJet
Loyalty
LP,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.58%,
2/14/31(b)
4,471,237
4,495,203
93,276,827
Communications
Equipment
(0.2%)
Delta
Topco,
Inc.,
First
Lien,
Second
Amendment
Term
Loan,
CME
Term
SOFR
6
Month
+
3.50%,
8.20%,
11/30/29(b)
2,000,000
2,018,130
Face
Amount
Value
Construction
&
Engineering
(1.8%)
Apple
Bidco
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.22%,
9/22/28(b)
$
7,052,714
$
7,101,801
Arcosa,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.25%,
6.71%,
8/15/31(b)
525,000
529,924
Artera
Services
LLC,
First
Lien,
Term
Loan,
C,
CME
Term
SOFR
3
Month
+
4.50%,
8.83%,
2/18/31(b)
500,000
496,493
Brown
Group
Holding
LLC,
First
Lien,
Incremental
Term
Loan,
B2,
CME
Term
SOFR
3
Month
+
2.50%,
6.93%,
7/01/31(b)
8,582,500
8,617,645
Construction
Partners,
Inc.,
First
Lien,
Closing
Date
Term
Loan,
CME
Term
SOFR
1
Month
+
2.50%,
6.84%,
11/03/31(b)
950,000
956,536
Cube
Industrial
Buyer,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
8.13%,
10/09/31(b)
2,250,000
2,267,809
Kodiak
Building
Partners
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.75%,
8.27%,
12/04/31(b)
1,050,000
1,052,063
Service
Logic
Acquisition,
Inc.,
First
Lien,
Amendment
No.
7
Refinancing
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
8.09%,
10/29/27(b)
1,496,241
1,508,405
22,530,676
Consumer
Finance
(0.5%)
Sabre
GLBL,
Inc.,
First
Lien,
Term
Loan,
B2,
CME
Term
SOFR
1
Month
+
5.00%,
9.46%,
6/30/28(b)
1,650,000
1,615,969
Trans
Union
LLC,
First
Lien,
2024
Refinancing
Term
Loan,
B9,
CME
Term
SOFR
1
Month
+
1.75%,
6.11%,
6/24/31(b)
4,676,500
4,675,635
6,291,604
Consumer
Staples
Distribution
&
Retail
(0.2%)
Heritage
Grocers
Group
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
6.75%,
11.18%,
8/01/29(b)
2,775,672
2,649,615
Containers
&
Packaging
(1.0%)
Altium
Packaging
LLC,
First
Lien,
2024
Refinancing
Term
Loan,
CME
Term
SOFR
1
Month
+
2.50%,
6.86%,
6/11/31(b)
671,625
672,048
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
Charter
Next
Generation,
Inc.,
First
Lien,
2024
Replacement
Term
Loan,
CME
Term
SOFR
1
Month
+
3.00%,
7.53%,
11/29/30(b)
$
4,259,772
$
4,288,079
Clydesdale
Acquisition
Holdings,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.18%,
7.75%,
4/13/29(b)
6,448,965
6,469,118
11,429,245
Distributors
(0.7%)
Gloves
Buyer,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
4.00%,
8.47%,
12/29/27(b)
6,267,701
6,274,219
Windsor
Holdings
III
LLC,
First
Lien,
2024
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
8/01/30(b)
2,685,505
2,722,431
8,996,650
Diversified
Consumer
Services
(2.9%)
Ascend
Learning
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.96%,
12/11/28(b)
4,562,692
4,593,012
Second
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
5.75%,
10.21%,
12/10/29(b)
2,500,000
2,485,938
Belron
Finance
US
LLC,
First
Lien,
2031
Dollar
Incremental
Term
Loan,
CME
Term
SOFR
3
Month
+
2.75%,
7.27%,
10/16/31(b)
2,992,500
3,024,774
KUEHG
Corp.,
First
Lien,
2024
Refinancing
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.84%,
6/12/30(b)
6,760,850
6,838,735
Lernen
US
Finco
LLC,
First
Lien,
Term
Loan,
B2,
CME
Term
SOFR
1
Day
+
4.00%,
4.00%,
9/30/31(b)
975,000
987,188
Mavis
Tire
Express
Services
Topco
Corp.,
First
Lien,
2024-2
Incremental
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
5/04/28(b)
3,980,000
4,011,721
Renaissance
Holdings
Corp.,
First
Lien,
2024-2
Term
Loan,
CME
Term
SOFR
1
Month
+
4.00%,
8.36%,
4/05/30(b)
4,117,708
4,112,849
Wand
NewCo
3,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
1/30/31(b)
8,379,402
8,424,148
34,478,365
Face
Amount
Value
Diversified
Telecommunication
Services
(0.7%)
Altice
France
SA,
First
Lien,
Term
Loan,
B14,
CME
Term
SOFR
3
Month
+
5.50%,
10.16%,
8/15/28(b)
$
3,491,139
$
2,812,985
Level
3
Financing,
Inc.,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
6.56%,
10.92%,
4/16/29(b)
3,000,000
3,064,125
Lumen
Technologies,
Inc.,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
2.35%,
6.82%,
4/16/29(b)
3,083,928
2,906,062
First
Lien,
Term
Loan,
B2,
CME
Term
SOFR
1
Month
+
2.35%,
6.82%,
4/15/30(b)
598,614
559,040
9,342,212
Electric
Utilities
(0.4%)
Lightning
Power
LLC,
First
Lien,
Initial
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.25%,
7.74%,
8/18/31(b)
4,500,000
4,556,880
Electrical
Equipment
(0.5%)
LSF12
Crown
US
Commercial
Bidco
LLC,
First
Lien,
Term
Loan,
CME
Term
SOFR
1
Month
+
4.25%,
8.80%,
10/10/31(b)
3,650,000
3,650,018
nVent
Electric
plc,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
3.50%,
8.24%,
9/12/31(b)
2,000,000
2,024,380
Roper
Industrial
Products
Investment
Co.
LLC,
First
Lien,
Term
Loan,
CME
Term
SOFR
12
Month,
TBD,
6/30/31(b)
582,036
584,219
6,258,617
Electronic
Equipment,
Instruments
&
Components
(0.5%)
Ingram
Micro,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
2.75%,
7.08%,
9/19/31(b)
4,836,786
4,870,039
VeriFone
Systems,
Inc.,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.78%,
8/20/25(b)
1,489,706
1,401,515
6,271,554
Energy
Equipment
&
Services
(0.1%)
Star
Holding
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
4.50%,
8.86%,
7/18/31(b)
1,521,188
1,520,077
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
Entertainment
(0.7%)
Playtika
Holding
Corp.,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
2.75%,
7.22%,
3/13/28(b)
$
7,927,954
$
7,961,410
Financial
Services
(2.3%)
Boost
Newco
Borrower
LLC,
First
Lien,
USD
Term
Loan,
B1,
CME
Term
SOFR
3
Month
+
2.50%,
6.83%,
1/31/31(b)
6,982,500
7,033,437
CPI
Holdco
B
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.00%,
6.36%,
5/19/31(b)
1,670,813
1,669,468
Hightower
Holding
LLC,
First
Lien,
Amendment
No.
7
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
8.07%,
4/21/28(b)
3,451,950
3,474,957
Kestra
Advisor
Services
Holdings
A,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.51%,
3/19/31(b)
2,493,750
2,499,723
Mariner
Wealth
Advisors
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
2.75%,
7.08%,
8/18/28(b)
4,818,990
4,829,544
Mermaid
Bidco,
Inc.,
First
Lien,
USD
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.25%,
7.80%,
7/03/31(b)
3,317,063
3,339,884
Orion
Advisor
Solutions,
Inc.,
First
Lien,
2024
Refinance
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.34%,
9/24/30(b)
2,144,625
2,167,744
Osaic
Holdings,
Inc.,
First
Lien,
Term
Loan,
B4,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
8/17/28(b)
2,085,782
2,096,805
27,111,562
Food
Products
(1.5%)
AAG
US
GSI
Bidco,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
5.00%,
9.33%,
10/08/31(b)
925,000
934,250
Alltech,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
4.00%,
8.47%,
10/13/28(b)
947,558
953,632
Froneri
International
Ltd.,
First
Lien,
Term
Loan,
B4,
CME
Term
SOFR
1
Month
+
2.00%,
6.36%,
9/17/31(b)
5,746,114
5,758,439
Nomad
Foods
US
LLC,
First
Lien,
2023
USD
Term
Loan,
B4,
CME
Term
SOFR
6
Month
+
2.50%,
6.97%,
11/13/29(b)
7,425,000
7,459,007
Face
Amount
Value
Pretzel
Parent,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
4.50%,
8.86%,
10/01/31(b)
$
2,400,000
$
2,424,000
Simply
Good
Foods
USA,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.50%,
6.96%,
3/17/27(b)
272,094
274,815
17,804,143
Ground
Transportation
(0.7%)
AIT
Worldwide
Logistics
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.75%,
9.28%,
4/05/30(b)
1,175,000
1,184,911
Hertz
Corp.
(The),
First
Lien,
Initial
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.50%,
7.97%,
6/30/28(b)
2,984,807
2,698,549
First
Lien,
Initial
Term
Loan,
C,
CME
Term
SOFR
1
Month
+
3.50%,
7.97%,
6/30/28(b)
582,716
526,831
Kenan
Advantage
Group,
Inc.
(The),
First
Lien,
U.S.
Term
Loan,
B4,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
1/25/29(b)
2,992,481
3,014,940
PODS
LLC,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.85%,
3/31/28(b)
1,802,589
1,691,568
9,116,799
Health
Care
Equipment
&
Supplies
(1.4%)
Bausch
+
Lomb
Corp.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.69%,
5/10/27(b)
2,493,606
2,506,186
Medline
Borrower
LP,
First
Lien,
Dollar
Incremental
Term
Loan,
CME
Term
SOFR
1
Month
+
2.25%,
6.61%,
10/23/28(b)
9,222,690
9,265,668
Sotera
Health
Holdings
LLC,
First
Lien,
2024
Refinancing
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.84%,
5/30/31(b)
4,987,500
5,006,228
16,778,082
Health
Care
Providers
&
Services
(4.0%)
CNT
Holdings
I
Corp.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
8.09%,
11/08/27(b)
4,974,874
5,013,604
Concentra
Health
Services,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.25%,
6.61%,
7/26/31(b)
5,511,188
5,559,410
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
Examworks
Bidco,
Inc.,
First
Lien,
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.11%,
11/01/28(b)
$
575,000
$
577,840
Hanger,
Inc.,
First
Lien,
Delayed
Draw
Term
Loan,
TBD,
10/23/31(b)
268,061
271,043
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
10/23/31(b)
2,081,939
2,105,101
MED
ParentCo
LP,
First
Lien,
Ninth
Amendment
Refinancing
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
4/15/31(b)
2,992,500
3,020,240
Medical
Solutions
Holdings,
Inc.,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
8.19%,
11/01/28(b)
1,584,802
1,130,051
National
Mentor
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
C,
CME
Term
SOFR
3
Month
+
3.75%,
8.18%,
3/02/28(b)
120,215
119,370
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.20%,
3/02/28(b)
4,845,635
4,811,546
Pacific
Dental
Services,
Inc.,
First
Lien,
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.13%,
3/17/31(b)
5,463,725
5,508,118
Packaging
Coordinators
Midco,
Inc.,
First
Lien,
2024
Replacement
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.84%,
11/30/27(b)
8,565,679
8,613,861
PAREXEL
International,
Inc.,
First
Lien,
Fifth
Amendment
Term
Loan,
CME
Term
SOFR
1
Month
+
3.00%,
7.36%,
11/15/28(b)
4,973,996
5,014,409
Select
Medical
Corp.,
First
Lien,
Term
Loan,
B2,
CME
Term
SOFR
1
Month
+
2.00%,
6.53%,
12/03/31(b)
1,825,000
1,833,358
Waystar
Technologies,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.32%,
10/22/29(b)
3,076,037
3,093,986
46,671,937
Health
Care
Technology
(0.7%)
AthenaHealth
Group,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
2/15/29(b)
6,440,307
6,469,063
Cotiviti,
Inc.,
First
Lien,
New
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.00%,
7.55%,
5/01/31(b)
2,875,799
2,895,584
9,364,647
Face
Amount
Value
Hotels,
Restaurants
&
Leisure
(4.1%)
Carnival
Corp.,
First
Lien,
2027
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.11%,
8/09/27(b)
$
700,277
$
706,296
First
Lien,
2028
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.11%,
10/18/28(b)
3,564,317
3,594,400
ClubCorp
Holdings,
Inc.,
First
Lien,
Term
Loan,
B2,
CME
Term
SOFR
3
Month
+
5.00%,
9.59%,
9/18/26(b)
5,077,180
5,098,885
Fertitta
Entertainment
LLC,
First
Lien,
Initial
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
1/29/29(b)
5,551,096
5,578,574
IRB
Holding
Corp.,
First
Lien,
2024
Second
Replacement
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
2.50%,
7.24%,
12/15/27(b)
2,500,000
2,505,562
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
2.75%,
7.42%,
12/15/27(b)
2,000,000
2,004,450
Light
&
Wonder
International,
Inc.,
First
Lien,
Term
Loan,
B2,
CME
Term
SOFR
1
Month
+
2.25%,
6.63%,
4/16/29(b)
7,775,487
7,817,164
Ontario
Gaming
GTA
LP,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
4.25%,
8.58%,
8/01/30(b)
3,573,961
3,585,773
Playa
Resorts
Holding
BV,
First
Lien,
2022
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.11%,
1/05/29(b)
6,524,721
6,538,782
Scientific
Games
Holdings
LP,
First
Lien,
2024
Refinancing
Dollar
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.59%,
4/04/29(b)
3,977,373
3,991,791
SeaWorld
Parks
&
Entertainment,
Inc.,
First
Lien,
Term
Loan,
B3,
CME
Term
SOFR
1
Month
+
2.00%,
6.36%,
12/04/31(b)
6,835,596
6,832,759
48,254,436
Household
Durables
(1.0%)
Hunter
Douglas,
Inc.,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
3
Month
+
3.50%,
8.02%,
2/25/29(b)
2,785,747
2,787,836
Mattress
Firm,
Inc.,
First
Lien,
Term
Loan,
CME
Term
SOFR
6
Month
+
4.25%,
8.92%,
9/21/28(b)
6,548,974
6,554,443
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
Tempur
Sealy
International,
Inc.,
First
Lien,
2024
Term
Loan,
B,
CME
Term
SOFR
1
Day
+
2.50%,
2.50%,
10/24/31(b)
$
3,000,000
$
3,012,180
12,354,459
Household
Products
(0.3%)
Kronos
Acquisition
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.58%,
6/27/31(b)
4,114,688
3,896,095
Insurance
(5.4%)
Acrisure
LLC,
First
Lien,
Term
Loan,
B6,
CME
Term
SOFR
12
Month
+
3.50%,
8.74%,
11/06/30(b)
1,995,000
2,000,766
Alliant
Holdings
Intermediate
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.11%,
9/19/31(b)
11,174,410
11,216,984
AssuredPartners,
Inc.,
First
Lien,
2024
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
2/14/31(b)
5,781,313
5,800,275
Asurion
LLC,
First
Lien,
New
Term
Loan,
B11,
CME
Term
SOFR
1
Month
+
4.25%,
8.71%,
8/21/28(b)
3,365,743
3,372,963
Second
Lien,
New
Term
Loan,
B3,
CME
Term
SOFR
1
Month
+
5.25%,
9.72%,
1/31/28(b)
1,000,000
979,645
Second
Lien,
New
Term
Loan,
B4,
CME
Term
SOFR
1
Month
+
5.25%,
9.72%,
1/19/29(b)
2,700,000
2,614,140
Broadstreet
Partners,
Inc.,
First
Lien,
2024
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.00%,
7.57%,
6/16/31(b)
4,937,625
4,960,289
HUB
International
Ltd.,
First
Lien,
2024-1
Incremental
Term
Loan,
CME
Term
SOFR
3
Month
+
2.75%,
7.37%,
6/20/30(b)
12,424,686
12,515,635
Ryan
Specialty
Group
LLC,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
2.25%,
6.61%,
9/15/31(b)
2,200,000
2,211,000
Sedgwick
Claims
Management
Services,
Inc.,
First
Lien,
2024
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.59%,
7/31/31(b)
5,423,556
5,462,958
Truist
Insurance
Holdings
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
2.75%,
7.08%,
5/06/31(b)
1,608,871
1,616,159
Face
Amount
Value
USI,
Inc.,
First
Lien,
2024
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
2.25%,
6.61%,
11/21/29(b)
$
12,227,278
$
12,222,754
64,973,568
IT
Services
(1.9%)
Foundever
Worldwide
Corp.,
First
Lien,
Initial
Dollar
Term
Loan,
CME
Term
SOFR
1
Month
+
3.75%,
8.22%,
8/28/28(b)
1,390,767
942,244
Gainwell
Acquisition
Corp.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
4.00%,
8.43%,
10/01/27(b)
3,182,394
3,090,455
Newfold
Digital
Holdings
Group,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
8.14%,
2/10/28(b)
4,862,211
3,302,511
Plano
HoldCo,
Inc.,
First
Lien,
Closing
Date
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
7.83%,
10/02/31(b)
850,000
858,500
Speedster
Bidco
GmbH,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
3.50%,
7.28%,
10/17/31(b)
4,025,000
4,040,939
Synechron,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.75%,
8.11%,
9/26/31(b)
1,550,000
1,563,563
Tempo
Acquisition
LLC,
First
Lien,
Sixth
Incremental
Term
Loan,
CME
Term
SOFR
1
Month
+
2.25%,
6.61%,
8/31/28(b)
8,004,104
8,044,125
21,842,337
Leisure
Products
(1.7%)
GBT
US
III
LLC,
First
Lien,
Restatement
Date
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.63%,
7/28/31(b)
6,500,000
6,539,813
GSM
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
5.00%,
9.33%,
9/29/31(b)
2,044,875
2,006,534
Horizon
US
Finco
LP,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
4.75%,
9.06%,
12/18/31(b)
2,125,000
2,117,031
MajorDrive
Holdings
IV
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.59%,
6/01/28(b)
3,599,474
3,519,134
Recess
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.50%,
9.09%,
2/20/30(b)
4,196,484
4,242,394
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
Sabre
GLBL,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
4.25%,
8.71%,
6/30/28(b)
$
1,000,000
$
976,255
19,401,161
Life
Sciences
Tools
&
Services
(0.2%)
Curia
Global,
Inc.,
First
Lien,
2021
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.44%,
8/31/26(b)
2,287,665
2,193,539
Machinery
(4.1%)
Alliance
Laundry
Systems
LLC,
First
Lien,
Initial
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.50%,
7.84%,
8/19/31(b)
2,500,000
2,519,875
Apex
Tool
Group
LLC,
First
Lien,
Term
Loan,
A,
CME
Term
SOFR
1
Month
+
7.35%,
7.35%
PIK,
11.92%,
2/08/29(b)(e)
37,721
35,450
First
Lien,
Incremental
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
10.00%,
7.17%
PIK,
14.46%,
2/08/30(b)(e)
88,088
83,683
CPM
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
4.50%,
9.05%,
9/28/28(b)
2,977,475
2,895,177
Crosby
US
Acquisition
Corp.,
First
Lien,
Amendment
No.
4
Replacement
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
8.07%,
8/16/29(b)
2,578,041
2,607,702
Crown
Equipment
Corp.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
2.50%,
6.94%,
10/10/31(b)
1,925,000
1,940,641
Dynamo
US
Bidco,
Inc.,
First
Lien,
USD
Term
Loan,
B,
CME
Term
SOFR
6
Month
+
4.00%,
8.26%,
10/01/31(b)
1,995,000
2,017,444
Engineered
Machinery
Holdings,
Inc.,
First
Lien,
Incremental
US
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.34%,
5/19/28(b)
4,459,151
4,499,573
Second
Lien,
Incremental
Amendment
No.3
Term
Loan,
CME
Term
SOFR
3
Month
+
6.00%,
10.59%,
5/21/29(b)
3,150,000
3,165,750
Filtration
Group
Corp.,
First
Lien,
2021
Incremental
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.97%,
10/23/28(b)
5,344,964
5,393,737
Madison
Safety
&
Flow
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
9/26/31(b)
922,688
930,618
Face
Amount
Value
Pro
Mach
Group,
Inc.,
First
Lien,
Amendment
No.
4
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.86%,
8/31/28(b)
$
2,000,000
$
2,020,000
SPX
FLOW,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.00%,
7.36%,
4/05/29(b)
5,606,218
5,659,841
SunSource
Borrower
LLC,
First
Lien,
First
Refinancing
Term
Loan,
CME
Term
SOFR
1
Month
+
4.00%,
8.46%,
3/25/31(b)
2,581,744
2,593,039
TK
Elevator
Midco
GmbH,
First
Lien,
Term
Loan,
C,
CME
Term
SOFR
6
Month
+
3.50%,
8.59%,
4/30/30(b)
10,466,264
10,555,280
46,917,810
Media
(0.4%)
Charter
Communications
Operating
LLC,
First
Lien,
Term
Loan,
B5,
CME
Term
SOFR
1
Month
+
2.25%,
6.78%,
12/15/31(b)
1,125,000
1,123,903
MJH
Healthcare
Holdings
LLC,
First
Lien,
2024
Refinancing
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.25%,
7.71%,
1/29/29(b)
3,308,375
3,330,094
4,453,997
Metals
&
Mining
(0.6%)
Arsenal
AIC
Parent
LLC,
First
Lien,
2024
Refinancing
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
8/19/30(b)
6,552,080
6,615,963
Oil,
Gas
&
Consumable
Fuels
(3.0%)
Apro
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.27%,
7/09/31(b)
2,344,125
2,370,004
CQP
Holdco
LP,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
2.00%,
6.33%,
12/31/30(b)
10,961,041
10,992,554
Discovery
Energy
Holding
Corp.,
First
Lien,
Initial
Dollar
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.35%,
5/01/31(b)
4,189,500
4,190,820
EPIC
Crude
Services
LP,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.66%,
10/15/31(b)
1,125,000
1,136,250
Freeport
LNG
Investments
LLLP,
First
Lien,
Initial
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.50%,
8.38%,
12/21/28(b)
3,625,689
3,647,497
GIP
Pilot
Acquisition
Partners
LP,
First
Lien,
2024
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
2.50%,
7.09%,
10/04/30(b)
6,730,466
6,780,945
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
Matador
Bidco
SARL,
First
Lien,
2024
Specified
Refinancing
Term
Loan,
CME
Term
SOFR
1
Month
+
4.25%,
8.71%,
7/16/29(b)
$
6,423,774
$
6,489,168
35,607,238
Passenger
Airlines
(0.6%)
AAdvantage
Loyalty
IP
Ltd.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.75%,
9.63%,
4/20/28(b)
7,082,353
7,282,748
Personal
Care
Products
(0.5%)
Conair
Holdings
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.75%,
8.22%,
5/17/28(b)
2,277,993
2,057,119
Journey
Personal
Care
Corp.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.75%,
8.11%,
3/01/28(b)
3,881,233
3,889,714
5,946,833
Pharmaceuticals
(0.3%)
Mallinckrodt
plc,
First
Lien,
Second-Out
Term
Loan,
CME
Term
SOFR
1
Month
+
9.50%,
14.00%,
11/14/28(b)
3,500,000
3,730,125
Professional
Services
(1.2%)
CoreLogic,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.97%,
6/02/28(b)
1,682,609
1,664,428
Creative
Artists
Agency
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
2.75%,
7.11%,
10/01/31(b)
997,487
1,003,512
EAB
Global,
Inc.,
First
Lien,
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
8/16/28(b)
8,252,441
8,294,735
EmployBridge
Holding
Co.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
4.75%,
9.62%,
7/19/28(b)
1,682,609
1,118,093
Soliant
Lower
Intermediate
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.75%,
8.11%,
7/18/31(b)
1,975,000
1,965,125
14,045,893
Real
Estate
Management
&
Development
(0.2%)
Cushman
&
Wakefield
US
Borrower
LLC,
First
Lien,
2023
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.00%,
7.36%,
1/31/30(b)
2,293,749
2,305,217
Face
Amount
Value
Software
(14.5%)
Applied
Systems,
Inc.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.00%,
7.33%,
2/24/31(b)
$
8,557,000
$
8,649,886
Azalea
Topco,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.25%,
7.61%,
4/30/31(b)
1,870,313
1,877,915
Boxer
Parent
Co.,
Inc.,
First
Lien,
2031
New
Dollar
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.34%,
7/30/31(b)
5,774,741
5,829,543
Second
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
5.75%,
10.34%,
7/02/32(b)
2,000,000
1,973,340
Central
Parent
LLC,
First
Lien,
2024
Refinancing
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.58%,
7/06/29(b)
4,563,563
4,509,096
Cloud
Software
Group,
Inc.,
First
Lien,
Initial
Dollar
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.50%,
7.83%,
3/30/29(b)
8,652,529
8,688,913
Cloudera,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.75%,
8.21%,
10/09/28(b)
5,186,599
5,182,553
Clover
Holdings
2
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.43%,
11/03/31(b)
3,750,000
3,796,875
Constant
Contact,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.92%,
2/10/28(b)
2,484,413
2,232,866
DS
Admiral
Bidco
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
4.25%,
8.61%,
6/26/31(b)
2,842,875
2,771,803
E2open
LLC,
First
Lien,
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.97%,
2/04/28(b)
966,544
972,382
ECI
Macola/Max
Holding
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
3.25%,
7.58%,
5/09/30(b)
8,542,151
8,633,809
Ellucian
Holdings,
Inc.,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
3.00%,
7.36%,
10/09/29(b)
8,101,030
8,165,838
Epicor
Software
Corp.,
First
Lien,
Term
Loan,
CME
Term
SOFR
1
Month
+
2.75%,
7.13%,
5/30/31(b)
12,693,079
12,799,511
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
Imprivata,
Inc.,
First
Lien,
2024
Refinancing
Term
Commitment
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
8.09%,
12/01/27(b)
$
3,415,065
$
3,442,419
Informatica
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
2.25%,
6.61%,
10/27/28(b)
6,933,803
6,977,140
Ivanti
Software,
Inc.,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
3
Month
+
4.25%,
9.12%,
12/01/27(b)
1,237,277
858,361
Marcel
Bidco
LLC,
First
Lien,
Term
Loan,
B7,
CME
Term
SOFR
1
Day
+
3.50%,
8.07%,
11/12/30(b)
5,472,534
5,554,622
McAfee
Corp.,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
3.00%,
7.37%,
3/01/29(b)
5,373,588
5,385,007
Oceankey
US
II
Corp.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.96%,
12/15/28(b)
3,466,902
3,483,508
Open
Text
Corp.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
1.75%,
6.11%,
1/31/30(b)
9,959,487
9,973,829
PointClickCare
Technologies,
Inc.,
First
Lien,
2024-1
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.58%,
11/03/31(b)
1,125,000
1,133,437
Polaris
Newco
LLC,
First
Lien,
Dollar
Term
Loan,
CME
Term
SOFR
3
Month
+
4.00%,
8.85%,
6/02/28(b)
4,262,619
4,275,684
Project
Alpha
Intermediate
Holding,
Inc.,
First
Lien,
Second
Amendment
Refinancing
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
7.58%,
10/28/30(b)
3,721,922
3,750,413
Project
Boost
Purchaser
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.50%,
8.15%,
7/16/31(b)
3,275,000
3,302,363
Second
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
5.25%,
9.90%,
7/02/32(b)
525,000
536,595
Proofpoint,
Inc.,
First
Lien,
Term
Loan,
CME
Term
SOFR
1
Month
+
3.00%,
7.36%,
8/31/28(b)
4,234,646
4,260,075
Quartz
Acquireco
LLC,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
3
Month
+
2.75%,
7.08%,
6/28/30(b)
4,944,875
4,988,143
Face
Amount
Value
Quest
Software,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.25%,
8.99%,
2/01/29(b)
$
2,188,299
$
1,426,038
Rackspace
Technology
Global,
Inc.,
First
Lien,
2024
Incremental
Super-Priority
Term
Loan,
CME
Term
SOFR
1
Month
+
6.25%,
10.85%,
5/15/28(b)
2,977,500
3,090,392
RealPage,
Inc.,
First
Lien,
2024-1
Incremental
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.08%,
4/24/28(b)
850,000
855,049
Symplr
Software,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
4.50%,
9.19%,
12/22/27(b)
2,277,880
2,090,843
Thunder
Generation
Funding
LLC,
First
Lien,
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.33%,
9/26/31(b)
1,945,125
1,960,316
UKG,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.00%,
7.62%,
2/10/31(b)
13,233,500
13,343,404
Veritas
US,
Inc.,
First
Lien,
Dollar
2020
Term
Loan,
B,
PRIME
+
4.00%,
11.50%,
9/02/25(b)
7,287,601
7,205,615
Vision
Solutions,
Inc.,
First
Lien,
New
Term
Loan,
B,
CME
Term
SOFR
3
Month
+
4.00%,
8.85%,
4/24/28(b)
5,942,680
5,862,453
169,840,036
Specialty
Retail
(2.7%)
EG
Finco
Ltd.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
12
Month
+
4.25%,
8.56%,
2/07/28(b)
500,000
505,180
EG
Group
Ltd.,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Day
+
5.50%,
10.33%,
2/07/28(b)
500,000
505,180
Great
Outdoors
Group
LLC,
First
Lien,
Term
Loan,
B1,
CME
Term
SOFR
1
Month
+
3.75%,
8.22%,
3/06/28(b)
3,169,294
3,190,686
Harbor
Freight
Tools
USA,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
6
Month
+
2.50%,
6.90%,
6/11/31(b)
4,089,750
4,039,405
LS
Group
OpCo
Acquistion
LLC,
First
Lien,
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.00%,
7.36%,
4/23/31(b)
8,444,678
8,497,457
Park
River
Holdings,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.25%,
8.11%,
12/28/27(b)
6,987,072
6,836,221
Morgan
Stanley
ETF
Trust
Eaton
Vance
Floating-Rate
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Variable
Rate
Senior
Loan
Interests  (87.1%)
(cont’d)
PetSmart
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.75%,
8.21%,
2/11/28(b)
$
2,282,308
$
2,277,549
RealTruck
Group,
Inc.,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
1
Month
+
3.50%,
7.97%,
1/31/28(b)
2,921,706
2,840,147
White
Cap
Supply
Holdings
LLC,
First
Lien,
Term
Loan,
C,
CME
Term
SOFR
1
Month
+
3.25%,
7.82%,
10/19/29(b)
4,841,071
4,856,393
33,548,218
Textiles,
Apparel
&
Luxury
Goods
(0.4%)
ABG
Intermediate
Holdings
2
LLC,
First
Lien,
2024
Refinancing
Term
Loan,
CME
Term
SOFR
12
Month
+
2.75%,
7.99%,
12/21/28(b)
350,000
351,804
Hanesbrands,
Inc.,
First
Lien,
Initial
Term
Loan,
B,
CME
Term
SOFR
1
Month
+
3.75%,
8.11%,
3/08/30(b)
1,083,754
1,094,591
Varsity
Brands
LLC,
First
Lien,
Initial
Term
Loan,
CME
Term
SOFR
3
Month
+
3.75%,
8.27%,
8/26/31(b)
4,000,000
4,009,500
5,455,895
Trading
Companies
&
Distributors
(0.2%)
Foundation
Building
Materials,
Inc.,
First
Lien,
Term
Loan,
9.25%,
1/29/31(b)
2,089,500
2,062,086
1,037,841,769
Total
Fixed
Income
Securities
(Cost
$1,208,069,455)
1,208,985,007
Shares
Short-Term
Investments
(
8
.8
%
)
Investment
Company
(
8
.3
%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(f)
(Cost
$99,299,679)
99,299,679
99,299,679
Shares
Value
Security
held
as
Collateral
on
Loaned
Securities
(
0
.5
%
)
Investment
Company
(0.5%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(f)
(Cost
$5,717,583)
5,717,583
$
5,717,583
Total
Short-Term
Investments
(Cost
$105,017,262)
105,017,262
Total
Investments
(110.2%)
(Cost
$1,313,086,717)
1,314,002,269
Less:
Unfunded
Loan
Commitments
(-0.1%)
(cost
$1,524,625)
(1,535,845)
Net
Investments
(110.1%)
(cost
$1,311,562,092)(g)
1,312,466,424
Liabilities
in
Excess
of
Other
Assets
(-10.1%)
(120,034,923)
Net
Assets
(100.0%)
$1,192,431,501
(a)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(b)
Floating
or
variable
rate
securities:
The
rates
disclosed
are
as
of
December
31,
2024.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
are
indicated
in
the
description
in
the
Portfolio
of
Investments.
Certain
variable
rate
securities
may
not
be
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description
in
the
Portfolio
of
Investments.
(c)
Amount
is
less
than
0.05%.
(d)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$5,576,033
and
$5,717,583,
respectively.
The
Fund
received
cash
collateral
of
$5,717,583,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(e)
Income
may
be
paid
in
additional
securities
and/or
cash
at
the
descretion
of
the
issuer.
(f)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$47,524
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(g)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$1,311,562,092.
The
aggregate
gross
unrealized
appreciation
is
$7,357,349
and
the
aggregate
gross
unrealized
depreciation
is
$6,453,017,
resulting
in
net
unrealized
appreciation
of
$904,332.
CME
Chicago
Mercantile
Exchange
CLO
Collateralized
Loan
Obligation
PIK
Payment-in-Kind
REIT
Real
Estate
Investment
Trust
SOFR
Secured
Overnight
Financing
Rate
TBD
To
Be
Determined
Portfolio
Composition*
Classification  
Percentage
of
Total
Investments
Variable
Rate
Senior
Loan
Interests
79‌
.3
%
Asset-Backed
Securities
7‌
.9
Short-Term
Investments
7‌
.6
Other**
5‌
.2
Total
Investments
100‌
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Eaton
Vance
High
Yield
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Face
Amount
Value
Fixed
Income
Securities
(96.2%)
Corporate
Bonds
(
96
.2
%
)
Aerospace
&
Defense
(2.8%)
Bombardier,
Inc.
7.00%,
6/1/32(a)(b)
$
30,000
$
30,555
7.25%,
7/1/31(a)(b)
30,000
30,976
7.88%,
4/15/27(a)(b)
62,000
62,133
8.75%,
11/15/30(a)(b)
40,000
43,047
Moog,
Inc.
4.25%,
12/15/27(a)
111,000
106,036
TransDigm,
Inc.
4.63%,
1/15/29(b)
52,000
48,737
5.50%,
11/15/27
142,000
139,651
6.38%,
3/1/29(a)
25,000
25,087
6.63%,
3/1/32(a)
40,000
40,411
6.75%,
8/15/28(a)
68,000
68,678
595,311
Air
Freight
&
Logistics
(0.4%)
Cargo
Aircraft
Management,
Inc.
4.75%,
2/1/28(a)
96,000
95,309
Automobile
Components
(1.0%)
Clarios
Global
LP
8.50%,
5/15/27(a)
100,000
100,340
Goodyear
Tire
&
Rubber
Co.
(The)
5.00%,
7/15/29
56,000
51,483
5.25%,
7/15/31
28,000
25,108
Patrick
Industries,
Inc.
6.38%,
11/1/32(a)
40,000
38,750
215,681
Automobiles
(0.8%)
Ford
Motor
Co.
6.10%,
8/19/32
175,000
174,224
Broadline
Retail
(0.6%)
Match
Group
Holdings
II
LLC
3.63%,
10/1/31(a)
139,000
119,113
Building
Products
(4.0%)
Builders
FirstSource,
Inc.
4.25%,
2/1/32(a)
208,000
183,875
5.00%,
3/1/30(a)
51,000
48,653
CP
Atlas
Buyer,
Inc.
7.00%,
12/1/28(a)
21,000
18,493
EMRLD
Borrower
LP
6.63%,
12/15/30(a)
131,000
131,338
Masterbrand,
Inc.
7.00%,
7/15/32(a)
87,000
87,708
Smyrna
Ready
Mix
Concrete
LLC
6.00%,
11/1/28(a)
117,000
114,243
Standard
Building
Solutions,
Inc.
6.50%,
8/15/32(a)
25,000
25,061
Standard
Industries,
Inc.
3.38%,
1/15/31(a)
25,000
21,456
4.38%,
7/15/30(a)
163,000
149,469
Summit
Materials
LLC
7.25%,
1/15/31(a)
59,000
62,660
842,956
Face
Amount
Value
Capital
Markets
(3.2%)
CI
Financial
Corp.
4.10%,
6/15/51
$
50,000
$
34,600
Compass
Group
Diversified
Holdings
LLC
5.25%,
4/15/29(a)
121,000
116,234
Focus
Financial
Partners
LLC
6.75%,
9/15/31(a)
81,000
80,767
HAT
Holdings
I
LLC
3.38%,
6/15/26(a)
185,000
179,390
Jane
Street
Group
4.50%,
11/15/29(a)
93,000
87,165
6.13%,
11/1/32(a)
55,000
54,527
MSCI,
Inc.
3.88%,
2/15/31(a)
128,000
117,285
669,968
Chemicals
(1.2%)
Avient
Corp.
6.25%,
11/1/31(a)
35,000
34,562
7.13%,
8/1/30(a)
122,000
125,145
WR
Grace
Holdings
LLC
4.88%,
6/15/27(a)
91,000
88,298
248,005
Commercial
Services
&
Supplies
(3.3%)
Allied
Universal
Holdco
LLC
7.88%,
2/15/31(a)
65,000
66,516
Clean
Harbors,
Inc.
4.88%,
7/15/27(a)
117,000
114,716
6.38%,
2/1/31(a)
15,000
15,115
GFL
Environmental,
Inc.
3.50%,
9/1/28(a)(b)
112,000
105,648
4.75%,
6/15/29(a)(b)
138,000
132,646
Reworld
Holding
Corp.
4.88%,
12/1/29(a)
103,000
95,370
WASH
Multifamily
Acquisition,
Inc.
5.75%,
4/15/26(a)
138,000
137,580
Wrangler
Holdco
Corp.
6.63%,
4/1/32(a)
25,000
25,475
693,066
Construction
&
Engineering
(0.5%)
Arcosa,
Inc.
6.88%,
8/15/32(a)
42,000
42,725
Artera
Services
LLC
8.50%,
2/15/31(a)
60,000
57,895
100,620
Consumer
Finance
(1.5%)
Ford
Motor
Credit
Co.
LLC
4.13%,
8/17/27
220,000
212,821
Macquarie
Airfinance
Holdings
Ltd.
6.40%,
3/26/29(a)
15,000
15,445
6.50%,
3/26/31(a)(b)
18,000
18,653
8.13%,
3/30/29(a)
59,000
62,594
309,513
Consumer
Staples
Distribution
&
Retail
(2.2%)
Albertsons
Cos.,
Inc.
4.88%,
2/15/30(a)
117,000
111,587
Morgan
Stanley
ETF
Trust
Eaton
Vance
High
Yield
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(96.2%)
(cont’d)
5.88%,
2/15/28(a)
$
47,000
$
46,845
7.50%,
3/15/26(a)
25,000
25,120
Performance
Food
Group,
Inc.
4.25%,
8/1/29(a)
155,000
143,988
6.13%,
9/15/32(a)
40,000
40,048
US
Foods,
Inc.
4.75%,
2/15/29(a)
103,000
98,744
466,332
Containers
&
Packaging
(1.2%)
Ball
Corp.
6.88%,
3/15/28
109,000
111,577
Berry
Global,
Inc.
5.63%,
7/15/27(a)
68,000
67,956
Owens-Brockway
Glass
Container,
Inc.
7.25%,
5/15/31(a)
75,000
73,085
252,618
Distributors
(1.3%)
Ritchie
Bros
Holdings,
Inc.
6.75%,
3/15/28(a)
66,000
67,560
7.75%,
3/15/31(a)
66,000
69,101
Windsor
Holdings
III
LLC
8.50%,
6/15/30(a)
121,000
127,469
264,130
Diversified
Consumer
Services
(0.5%)
Wand
NewCo
3,
Inc.
7.63%,
1/30/32(a)
100,000
102,814
Diversified
REITs
(0.2%)
VICI
Properties
LP
3.75%,
2/15/27(a)
15,000
14,564
5.75%,
2/1/27(a)
26,000
26,242
40,806
Diversified
Telecommunication
Services
(3.0%)
CCO
Holdings
LLC
4.25%,
2/1/31(a)
13,000
11,346
4.50%,
8/15/30(a)
257,000
230,988
4.75%,
3/1/30
-
2/1/32(a)
100,000
90,828
6.38%,
9/1/29(a)
112,000
111,167
Virgin
Media
Finance
plc
5.00%,
7/15/30(a)(b)
220,000
186,485
630,814
Electric
Utilities
(3.5%)
Alpha
Generation
LLC
6.75%,
10/15/32(a)(b)
94,000
93,088
NextEra
Energy
Operating
Partners
LP
4.50%,
9/15/27(a)
115,000
110,199
NRG
Energy,
Inc.
3.63%,
2/15/31(a)
70,000
61,260
3.88%,
2/15/32(a)
56,000
48,946
6.00%,
2/1/33(a)
50,000
48,601
6.25%,
11/1/34(a)
30,000
29,449
10.25%,
3/15/28(a)(c)(d)
78,000
86,232
Pattern
Energy
Operations
LP
4.50%,
8/15/28(a)
69,000
64,807
Face
Amount
Value
Vistra
Operations
Co.
LLC
5.00%,
7/31/27(a)
$
136,000
$
133,555
6.88%,
4/15/32(a)
55,000
56,368
732,505
Electronic
Equipment,
Instruments
&
Components
(0.8%)
Coherent
Corp.
5.00%,
12/15/29(a)
44,000
42,031
Insight
Enterprises,
Inc.
6.63%,
5/15/32(a)
51,000
51,352
Sensata
Technologies,
Inc.
3.75%,
2/15/31(a)
81,000
70,902
164,285
Energy
Equipment
&
Services
(0.7%)
Transocean,
Inc.
8.75%,
2/15/30(a)
56,100
58,099
Weatherford
International
Ltd.
8.63%,
4/30/30(a)
77,000
79,567
137,666
Entertainment
(1.1%)
Cinemark
USA,
Inc.
5.25%,
7/15/28(a)
98,000
95,659
7.00%,
8/1/32(a)
40,000
40,854
Playtika
Holding
Corp.
4.25%,
3/15/29(a)
94,000
85,575
222,088
Financial
Services
(0.8%)
Rocket
Mortgage
LLC
2.88%,
10/15/26(a)
32,000
30,384
3.63%,
3/1/29(a)
100,000
90,632
Shift4
Payments
LLC
6.75%,
8/15/32(a)
42,000
42,752
163,768
Food
Products
(1.8%)
Darling
Ingredients,
Inc.
6.00%,
6/15/30(a)
140,000
138,229
Pilgrim's
Pride
Corp.
3.50%,
3/1/32
130,000
112,265
6.88%,
5/15/34
30,000
31,938
Post
Holdings,
Inc.
6.25%,
2/15/32(a)
45,000
44,718
Viking
Baked
Goods
Acquisition
Corp.
8.63%,
11/1/31(a)(b)
56,000
55,152
382,302
Gas
Utilities
(1.0%)
Ferrellgas
LP
5.88%,
4/1/29(a)
120,000
109,789
Superior
Plus
LP
4.50%,
3/15/29(a)(b)
103,000
93,744
203,533
Ground
Transportation
(0.4%)
EquipmentShare.com,
Inc.
8.63%,
5/15/32(a)(b)
31,000
32,435
NESCO
Holdings
II,
Inc.
5.50%,
4/15/29(a)
15,000
13,934
Morgan
Stanley
ETF
Trust
Eaton
Vance
High
Yield
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(96.2%)
(cont’d)
Watco
Cos.
LLC
7.13%,
8/1/32(a)(b)
$
45,000
$
46,429
92,798
Health
Care
Equipment
&
Supplies
(1.7%)
Avantor
Funding,
Inc.
4.63%,
7/15/28(a)
121,000
115,597
Medline
Borrower
LP
5.25%,
10/1/29(a)
253,000
244,401
359,998
Health
Care
Providers
&
Services
(6.8%)
Concentra
Escrow
Issuer
Corp.
6.88%,
7/15/32(a)(b)
62,000
63,377
Encompass
Health
Corp.
4.75%,
2/1/30
67,000
63,564
HCA,
Inc.
5.63%,
9/1/28
109,000
110,506
HealthEquity,
Inc.
4.50%,
10/1/29(a)
125,000
117,326
Heartland
Dental
LLC
10.50%,
4/30/28(a)
138,000
146,481
LifePoint
Health,
Inc.
4.38%,
2/15/27(a)
101,000
96,881
9.88%,
8/15/30(a)
56,000
60,492
Molina
Healthcare,
Inc.
3.88%,
11/15/30
-
5/15/32(a)
213,000
187,951
6.25%,
1/15/33(a)(b)
35,000
34,624
Option
Care
Health,
Inc.
4.38%,
10/31/29(a)
188,000
173,557
Team
Health
Holdings,
Inc.
9.00
%
Cash,
4.50%
PIK,
13.50%,
6/30/28(a)(e)
66,327
72,885
Tenet
Healthcare
Corp.
4.38%,
1/15/30
15,000
13,943
5.13%,
11/1/27
77,000
75,479
6.13%,
10/1/28
120,000
119,885
US
Acute
Care
Solutions
LLC
9.75%,
5/15/29(a)
86,000
87,751
1,424,702
Hotels,
Restaurants
&
Leisure
(8.6%)
1011778
BC
ULC
3.88%,
1/15/28(a)
109,000
103,174
4.00%,
10/15/30(a)(b)
135,000
120,858
Boyne
USA,
Inc.
4.75%,
5/15/29(a)
62,000
58,823
Caesars
Entertainment,
Inc.
4.63%,
10/15/29(a)
194,000
181,790
6.00%,
10/15/32(a)
45,000
43,430
6.50%,
2/15/32(a)
40,000
40,213
7.00%,
2/15/30(a)
112,000
114,159
Carnival
Corp.
6.00%,
5/1/29(a)
145,000
144,768
Churchill
Downs,
Inc.
5.75%,
4/1/30(a)
100,000
98,212
Life
Time,
Inc.
5.75%,
1/15/26(a)
165,000
164,932
Face
Amount
Value
Light
&
Wonder
International,
Inc.
7.00%,
5/15/28(a)
$
111,000
$
111,325
NCL
Corp.
Ltd.
7.75%,
2/15/29(a)
95,000
99,830
NCL
Finance
Ltd.
6.13%,
3/15/28(a)
70,000
70,277
Raising
Cane's
Restaurants
LLC
9.38%,
5/1/29(a)
95,000
101,889
Royal
Caribbean
Cruises
Ltd.
3.70%,
3/15/28(b)
25,000
23,722
6.00%,
2/1/33(a)(b)
45,000
44,926
6.25%,
3/15/32(a)(b)
40,000
40,510
Viking
Cruises
Ltd.
5.88%,
9/15/27(a)
145,000
144,385
Yum!
Brands,
Inc.
3.63%,
3/15/31(b)
96,000
84,961
1,792,184
Household
Durables
(1.5%)
Taylor
Morrison
Communities,
Inc.
5.88%,
6/15/27(a)
91,000
91,762
Tempur
Sealy
International,
Inc.
3.88%,
10/15/31(a)
120,000
104,799
TopBuild
Corp.
4.13%,
2/15/32(a)
135,000
119,698
316,259
Household
Products
(0.1%)
Spectrum
Brands,
Inc.
3.88%,
3/15/31(a)
14,000
12,118
Independent
Power
and
Renewable
Electricity
Producers
(0.6%)
Calpine
Corp.
5.00%,
2/1/31(a)
56,000
52,701
5.13%,
3/15/28(a)
74,000
71,826
124,527
Insurance
(2.4%)
Alliant
Holdings
Intermediate
LLC
6.50%,
10/1/31(a)
12,000
11,896
7.00%,
1/15/31(a)
82,000
82,410
HUB
International
Ltd.
7.25%,
6/15/30(a)
55,000
56,420
Jones
Deslauriers
Insurance
Management,
Inc.
8.50%,
3/15/30(a)(b)
100,000
105,681
Panther
Escrow
Issuer
LLC
7.13%,
6/1/31(a)
164,000
165,818
Ryan
Specialty
LLC
5.88%,
8/1/32(a)
78,000
77,228
499,453
IT
Services
(1.1%)
Arches
Buyer,
Inc.
4.25%,
6/1/28(a)
95,000
87,355
Gartner,
Inc.
4.50%,
7/1/28(a)
144,000
140,426
227,781
Morgan
Stanley
ETF
Trust
Eaton
Vance
High
Yield
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(96.2%)
(cont’d)
Life
Sciences
Tools
&
Services
(0.4%)
Fortrea
Holdings,
Inc.
7.50%,
7/1/30(a)
$
90,000
$
90,262
Machinery
(2.0%)
Calderys
Financing
LLC
11.25%,
6/1/28(a)
101,000
108,236
Chart
Industries,
Inc.
9.50%,
1/1/31(a)
117,000
125,864
Esab
Corp.
6.25%,
4/15/29(a)
62,000
62,849
Roller
Bearing
Co.
of
America,
Inc.
4.38%,
10/15/29(a)
125,000
116,953
413,902
Media
(2.8%)
Clear
Channel
Outdoor
Holdings,
Inc.
7.88%,
4/1/30(a)
103,000
106,130
Directv
Financing
LLC
5.88%,
8/15/27(a)
15,000
14,630
DISH
Network
Corp.
11.75%,
11/15/27(a)
74,000
78,469
McGraw-Hill
Education,
Inc.
5.75%,
8/1/28(a)
101,000
98,726
7.38%,
9/1/31(a)
30,000
30,740
Outfront
Media
Capital
LLC
4.63%,
3/15/30(a)
119,000
110,058
Stagwell
Global
LLC
5.63%,
8/15/29(a)
86,000
81,983
Townsquare
Media,
Inc.
6.88%,
2/1/26(a)
62,000
61,864
582,600
Metals
&
Mining
(3.4%)
Arsenal
AIC
Parent
LLC
11.50%,
10/1/31(a)
122,000
136,644
Big
River
Steel
LLC
6.63%,
1/31/29(a)
55,000
55,053
Cleveland-Cliffs,
Inc.
7.38%,
5/1/33(a)(b)
55,000
54,086
Compass
Minerals
International,
Inc.
6.75%,
12/1/27(a)
153,000
150,870
Eldorado
Gold
Corp.
6.25%,
9/1/29(a)(b)
84,000
82,903
Hudbay
Minerals,
Inc.
4.50%,
4/1/26(a)
69,000
68,076
6.13%,
4/1/29(a)(b)
35,000
35,170
Novelis
Corp.
3.25%,
11/15/26(a)
45,000
42,903
4.75%,
1/30/30(a)
100,000
92,412
718,117
Oil,
Gas
&
Consumable
Fuels
(11.3%)
Aethon
United
BR
LP
7.50%,
10/1/29(a)
60,000
61,419
Antero
Midstream
Partners
LP
5.75%,
3/1/27(a)
95,000
94,622
Cheniere
Energy
Partners
LP
4.00%,
3/1/31
108,000
99,941
Face
Amount
Value
Cheniere
Energy,
Inc.
4.63%,
10/15/28
$
118,000
$
115,523
Civitas
Resources,
Inc.
8.63%,
11/1/30(a)
77,000
80,708
DT
Midstream,
Inc.
4.13%,
6/15/29(a)
127,000
118,691
EQM
Midstream
Partners
LP
4.50%,
1/15/29(a)
81,000
77,229
4.75%,
1/15/31(a)
70,000
65,879
6.50%,
7/1/27(a)
51,000
51,696
7.50%,
6/1/30(a)
62,000
66,200
Expand
Energy
Corp.
4.75%,
2/1/32
125,000
116,435
Genesis
Energy
LP
7.88%,
5/15/32
31,000
30,388
Kinetik
Holdings
LP
5.88%,
6/15/30(a)
113,000
111,311
Matador
Resources
Co.
6.50%,
4/15/32(a)
55,000
54,471
Parkland
Corp.
4.63%,
5/1/30(a)(b)
100,000
91,884
Permian
Resources
Operating
LLC
5.88%,
7/1/29(a)
177,000
173,801
6.25%,
2/1/33(a)
40,000
39,517
Plains
All
American
Pipeline
LP
8.90%,
1/30/25(c)(d)
91,000
90,780
SM
Energy
Co.
7.00%,
8/1/32(a)
45,000
44,410
Sunoco
LP
4.50%,
4/30/30
111,000
103,030
7.25%,
5/1/32(a)
45,000
46,519
TerraForm
Power
Operating
LLC
4.75%,
1/15/30(a)
32,000
29,607
5.00%,
1/31/28(a)
89,000
85,818
Venture
Global
LNG,
Inc.
7.00%,
1/15/30(a)
30,000
30,478
8.38%,
6/1/31(a)
217,000
226,540
9.00%,
9/30/29(a)(c)(d)
90,000
94,242
9.50%,
2/1/29(a)
20,000
22,118
9.88%,
2/1/32(a)
5,000
5,489
Vital
Energy,
Inc.
7.88%,
4/15/32(a)
12,000
11,558
9.75%,
10/15/30(b)
54,000
56,989
Western
Midstream
Operating
LP
4.05%,
2/1/30(f)
65,000
61,011
2,358,304
Passenger
Airlines
(0.5%)
VistaJet
Malta
Finance
plc
6.38%,
2/1/30(a)
104,000
90,983
9.50%,
6/1/28(a)
17,000
17,127
108,110
Personal
Care
Products
(1.1%)
BellRing
Brands,
Inc.
7.00%,
3/15/30(a)
116,000
119,002
Edgewell
Personal
Care
Co.
4.13%,
4/1/29(a)
80,000
73,849
Morgan
Stanley
ETF
Trust
Eaton
Vance
High
Yield
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(96.2%)
(cont’d)
Prestige
Brands,
Inc.
3.75%,
4/1/31(a)
$
35,000
$
30,754
223,605
Pharmaceuticals
(0.7%)
Endo
Finance
Holdings,
Inc.
8.50%,
4/15/31(a)
55,000
58,343
Teva
Pharmaceutical
Finance
Netherlands
III
BV
4.10%,
10/1/46
118,000
84,989
143,332
Professional
Services
(1.2%)
Amentum
Holdings,
Inc.
7.25%,
8/1/32(a)
41,000
41,357
AMN
Healthcare,
Inc.
4.63%,
10/1/27(a)
76,000
72,589
VT
Topco,
Inc.
8.50%,
8/15/30(a)
122,000
129,368
243,314
Real
Estate
Management
&
Development
(0.3%)
Cushman
&
Wakefield
US
Borrower
LLC
6.75%,
5/15/28(a)
68,000
68,125
Semiconductors
&
Semiconductor
Equipment
(0.4%)
ON
Semiconductor
Corp.
3.88%,
9/1/28(a)
91,000
85,420
Software
(2.3%)
Clarivate
Science
Holdings
Corp.
4.88%,
7/1/29(a)
95,000
88,663
Cloud
Software
Group,
Inc.
6.50%,
3/31/29(a)
61,000
59,950
9.00%,
9/30/29(a)
66,000
67,092
Ellucian
Holdings,
Inc.
6.50%,
12/1/29(a)
53,000
53,155
Fair
Isaac
Corp.
4.00%,
6/15/28(a)
85,000
80,280
Open
Text
Corp.
3.88%,
2/15/28(a)(b)
63,000
59,401
SS&C
Technologies,
Inc.
5.50%,
9/30/27(a)
67,000
66,415
474,956
Specialty
Retail
(5.0%)
Asbury
Automotive
Group,
Inc.
4.63%,
11/15/29(a)
34,000
31,689
5.00%,
2/15/32(a)
14,000
12,786
Bath
&
Body
Works,
Inc.
6.75%,
7/1/36(b)
40,000
40,705
6.88%,
11/1/35(b)
18,000
18,443
Cougar
JV
Subsidiary
LLC
8.00%,
5/15/32(a)
69,000
71,691
Evergreen
Acqco
1
LP
9.75%,
4/26/28(a)
82,000
86,387
Group
1
Automotive,
Inc.
4.00%,
8/15/28(a)
128,000
119,933
6.38%,
1/15/30(a)
20,000
20,090
LCM
Investments
Holdings
II
LLC
4.88%,
5/1/29(a)
91,000
85,093
Face
Amount
Value
Lithia
Motors,
Inc.
3.88%,
6/1/29(a)
$
91,000
$
83,244
4.38%,
1/15/31(a)
92,000
83,752
Sonic
Automotive,
Inc.
4.63%,
11/15/29(a)
129,000
119,216
4.88%,
11/15/31(a)
134,000
120,353
Specialty
Building
Products
Holdings
LLC
7.75%,
10/15/29(a)
68,000
69,246
Valvoline,
Inc.
3.63%,
6/15/31(a)
88,000
75,397
1,038,025
Technology
Hardware,
Storage
&
Peripherals
(1.0%)
Diebold
Nixdorf,
Inc.
7.75%,
3/31/30(a)(b)
40,000
41,162
Seagate
HDD
Cayman
8.25%,
12/15/29
84,000
89,579
9.63%,
12/1/32
80,000
90,264
221,005
Textiles,
Apparel
&
Luxury
Goods
(0.7%)
Champ
Acquisition
Corp.
8.38%,
12/1/31(a)
53,000
54,197
Hanesbrands,
Inc.
9.00%,
2/15/31(a)
95,000
101,387
155,584
Trading
Companies
&
Distributors
(1.4%)
Imola
Merger
Corp.
4.75%,
5/15/29(a)
134,000
127,182
WESCO
Distribution,
Inc.
6.38%,
3/15/29(a)
32,000
32,468
6.63%,
3/15/32(a)
33,000
33,581
7.25%,
6/15/28(a)
108,000
109,902
303,133
Transportation
Infrastructure
(0.5%)
Seaspan
Corp.
5.50%,
8/1/29(a)
107,000
100,031
Wireless
Telecommunication
Services
(0.6%)
Sprint
LLC
7.63%,
3/1/26
43,000
43,984
T-Mobile
USA,
Inc.
2.25%,
2/15/26
54,000
52,488
2.88%,
2/15/31
41,000
36,079
132,551
Total
Fixed
Income
Securities
(Cost
$19,213,175)
20,137,623
Shares
Short-Term
Investments
(
11
.3
%
)
Investment
Company
(
2
.3
%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(g)
(Cost
$476,144)
476,144
476,144
Morgan
Stanley
ETF
Trust
Eaton
Vance
High
Yield
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Security
held
as
Collateral
on
Loaned
Securities
(
9
.0
%
)
Investment
Company
(9.0%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(g)
(Cost
$1,885,143)
1,885,143
$
1,885,143
Total
Short-Term
Investments
(Cost
$2,361,287)
2,361,287
Total
Investments
(107.5%)
(Cost
$21,574,462)
(h)
22,498,910
Liabilities
in
Excess
of
Other
Assets
(-7.5%)
(1,567,768)
Net
Assets
(100.0%)
$20,931,142
(a)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(b)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$1,820,826
and
$1,885,143,
respectively.
The
Fund
received
cash
collateral
of
$1,885,143,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(c)
Perpetual
One
or
more
securities
do
not
have
a
predetermined
maturity
date.
Rates
for
these
securities
are
fixed
for
a
period
of
time,
after
which
they
revert
to
a
floating
rate.
Interest
rates
in
effect
are
as
of
December
31,
2024.
(d)
Floating
or
variable
rate
securities:
The
rates
disclosed
are
as
of
December
31,
2024.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
are
indicated
in
the
description
in
the
Portfolio
of
Investments.
Certain
variable
rate
securities
may
not
be
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description
in
the
Portfolio
of
Investments.
(e)
Income
may
be
paid
in
additional
securities
and/or
cash
at
the
descretion
of
the
issuer.
(f)
Multi-step
Coupon
rate
changes
in
predetermined
increments
to
maturity.
Rate
disclosed
is
as
of
December
31,
2024.
Maturity
date
disclosed
is
the
ultimate
maturity
date.
(g)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$268
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(h)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$21,574,462.
The
aggregate
gross
unrealized
appreciation
is
$944,101
and
the
aggregate
gross
unrealized
depreciation
is
$19,653,
resulting
in
net
unrealized
appreciation
of
$924,448.
PIK
Payment-in-Kind
REIT
Real
Estate
Investment
Trust
Portfolio
Composition*
Classification  
Percentage
of
Total
Investments
Other**
73‌
.0
%
Oil,
Gas
&
Consumable
Fuels
11‌
.4
Hotels,
Restaurants
&
Leisure
8‌
.7
Health
Care
Providers
&
Services
6‌
.9
Total
Investments
100‌
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Eaton
Vance
Intermediate
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Face
Amount
Value
Fixed
Income
Securities
(92.3%)
Municipal
Bonds
(
92
.3
%
)
Alabama
(
0
.6
%
)
Black
Belt
Energy
Gas
District,
Gas
Project
Series
2024
D
5.00%,
3/1/55(a)
$
235,000
$
249,588
Arizona
(
2
.1
%
)
City
of
Mesa
AZ,
Utility
System
Series
2014
4.00%,
7/1/37
250,000
245,741
Industrial
Development
Authority
of
the
County
of
Yavapai
(The),
Yavapai
Community
Hospital
Association
Obligated
Group
Series
2019
4.00%,
8/1/43
425,000
407,247
Sierra
Vista
Industrial
Development
Authority,
American
Leadership
Academy,
Inc.
Series
2024
5.00%,
6/15/34(b)
250,000
257,125
910,113
California
(
3
.8
%
)
California
Community
Choice
Financing
Authority,
Series
2024
C
5.00%,
8/1/55(a)
325,000
344,644
Series
2023
F
5.50%,
10/1/54(a)
490,000
533,494
Los
Angeles
Department
of
Water
&
Power
Water
System,
Series
2022
CC
5.00%,
7/1/42
500,000
555,360
Menifee
Union
School
District,
Series
2017
A
3.25%,
8/1/37
250,000
237,037
1,670,535
Colorado
(
5
.3
%
)
Board
of
Governors
of
Colorado
State
University
System,
Series
2023
A-2
4.38%,
3/1/48(a)
500,000
520,711
Colorado
Health
Facilities
Authority,
AdventHealth
Obligated
Group
Series
A-1
5.00%,
11/15/58(a)
500,000
532,748
CommonSpirit
Health
Obligated
Group
Series
2019
B-2
5.00%,
8/1/49(a)
250,000
257,788
Colorado
Housing
and
Finance
Authority,
Fitz
Affordable
Owner
LLC
Series
2024
A
4.48%,
3/1/44
250,000
247,078
Raindance
Metropolitan
District
No.
2,
Series
2024
4.00%,
12/1/44
500,000
491,725
University
of
Colorado
Hospital
Authority,
Series
2024
B
5.00%,
11/15/31
250,000
277,474
2,327,524
Face
Amount
Value
Connecticut
(
4
.3
%
)
Connecticut
State
Health
&
Educational
Facilities
Authority,
Quinnipiac
University
Series
M
5.00%,
7/1/29
$
250,000
$
254,871
State
of
Connecticut
CT,
Series
2024
G
5.00%,
11/15/40
1,000,000
1,119,791
Special
Tax
Series
2021
A
5.00%,
5/1/41
500,000
537,149
1,911,811
District
of
Columbia
(
2
.3
%
)
District
of
Columbia
Housing
Finance
Agency,
Carl
F
West
LLC
Series
2023
A-2
4.40%,
9/1/45(a)
500,000
509,762
Metropolitan
Washington
Airports
Authority
Aviation,
Series
A
(AMT)
5.00%,
10/1/31
500,000
509,342
1,019,104
Georgia
(
2
.4
%
)
Main
Street
Natural
Gas,
Inc.,
Series
2022
B
5.00%,
12/1/52(a)
500,000
520,833
Series
2023
B
5.00%,
7/1/53(a)
500,000
526,325
Illinois
(
9
.2
%
)
Chicago
Board
of
Education,
Series
2012
B
5.00%,
12/1/33
500,000
500,131
Chicago
O'Hare
International
Airport,
Series
2024
D
5.00%,
1/1/33
500,000
561,187
City
of
Chicago
IL,
Series
2024
B
5.00%,
1/1/33
500,000
534,221
Series
2021
A
5.00%,
1/1/34
230,000
240,032
Series
2024
B
5.00%,
1/1/35
175,000
187,367
City
of
Springfield
IL,
Electric
Series
2024
5.00%,
3/1/30
500,000
540,635
Illinois
Finance
Authority,
Ascension
Health
Credit
Group
Series
2016
C
5.00%,
2/15/41
500,000
507,726
State
of
Illinois
Water
Revolving
Fund
-
Clean
Water
Program
Series
2017
5.00%,
7/1/32
425,000
438,236
Northern
Illinois
Municipal
Power
Agency,
Series
2016
A
4.00%,
12/1/41
250,000
242,963
Morgan
Stanley
ETF
Trust
Eaton
Vance
Intermediate
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Municipal
Bonds
(92.3%)
(cont’d)
Illinois
(9.2%)
(cont’d)
State
of
Illinois
IL,
Series
2020
5.50%,
5/1/39
$
315,000
$
339,428
4,091,926
Indiana
(
1
.4
%
)
Clark-Pleasant
Community
School
Building
Corp.,
Series
2024
5.00%,
7/15/41
575,000
626,951
Iowa
(
1
.2
%
)
Iowa
Finance
Authority,
Lifespace
Communities,
Inc.
Obligated
Group
Series
2024
A
5.00%,
5/15/39
500,000
517,358
Louisiana
(
1
.1
%
)
Parish
of
St
John
the
Baptist,
Marathon
Oil
Corp.
Series
2017
C
3.30%,
6/1/37(a)
500,000
492,517
Massachusetts
(
1
.5
%
)
Commonwealth
of
Massachusetts,
Series
2015
B
4.00%,
5/1/45
250,000
245,405
Massachusetts
Clean
Water
Trust
(The),
Massachusetts
Clean
Water
State
Revolving
Fund
Series
B-25
5.00%,
2/1/43
350,000
385,546
630,951
Michigan
(
1
.6
%
)
City
of
Detroit
MI,
Series
2020
5.50%,
4/1/40
250,000
265,871
Michigan
State
Housing
Development
Authority,
Series
B
3.35%,
12/1/34
335,000
312,953
Series
2024
D
3.40%,
6/1/30
150,000
147,247
726,071
Minnesota
(
1
.8
%
)
City
of
Minneapolis
MN,
Series
2024
3.00%,
12/1/41
885,000
785,796
Nebraska
(
0
.9
%
)
Nebraska
Public
Power
District,
Series
2016
A
5.00%,
1/1/25
400,000
400,000
New
Jersey
(
2
.4
%
)
New
Jersey
Transportation
Trust
Fund
Authority,
Series
2022
CC
5.00%,
6/15/42
500,000
536,241
Face
Amount
Value
Tobacco
Settlement
Financing
Corp.,
Series
2018
A
5.00%,
6/1/34
$
500,000
$
519,349
1,055,590
New
York
(
18
.8
%
)
Build
NYC
Resource
Corp.,
Success
Academy
Charter
Schools
Inc
Obligated
Group
Series
2025
4.00%,
9/1/43
880,000
840,520
Empire
State
Development
Corp.,
State
of
New
York
Sales
Tax
Series
2023
A
5.00%,
3/15/44
500,000
543,448
Metropolitan
Transportation
Authority,
Series
A-1
5.00%,
11/15/46
500,000
503,531
New
York
City
Housing
Development
Corp.,
8
Spruce
NY
Owner
LLC
Series
2024
D
4.00%,
12/15/31
375,000
380,928
New
York
City
Transitional
Finance
Authority,
Future
Tax
Secured
Series
2024
C
5.00%,
5/1/37
500,000
561,514
New
York
State
Dormitory
Authority,
Montefiore
Obligated
Group
Series
2024
5.00%,
11/1/35
500,000
544,903
State
of
New
York
Personal
Income
Tax
Series
2016
D
5.00%,
2/15/25
760,000
761,672
State
of
New
York
Sales
Tax
Series
2024
B
5.00%,
3/15/35
160,000
185,402
Series
2024
A
5.00%,
3/15/51
450,000
482,966
White
Plains
Hospital
Obligated
Group
Series
2024
5.00%,
10/1/35
250,000
270,282
New
York
State
Housing
Finance
Agency,
State
of
New
York
Personal
Income
Tax
Series
2024
A-2
3.45%,
6/15/54(a)
750,000
744,368
West
38th
Street
LLC
Series
2014
A
3.57%,
5/1/42(a)
500,000
496,302
New
York
Transportation
Development
Corp.,
Delta
Air
Lines,
Inc.
Series
2023
(AMT)
5.63%,
4/1/40
250,000
265,709
JFK
International
Air
Terminal
LLC
Series
2022
(AMT)
5.00%,
12/1/32
500,000
532,690
JFK
Millennium
Partners
LLC
Series
2024
A
(AMT)
5.25%,
12/31/54
335,000
355,571
JFK
NTO
LLC
Series
2023
(AMT)
5.50%,
6/30/38
250,000
270,061
Morgan
Stanley
ETF
Trust
Eaton
Vance
Intermediate
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Municipal
Bonds
(92.3%)
(cont’d)
New
York
(18.8%)
(cont’d)
Utility
Debt
Securitization
Authority,
Series
2023
TE-1
5.00%,
12/15/41
$
500,000
$
564,704
8,304,571
North
Carolina
(
0
.6
%
)
North
Carolina
Municipal
Power
Agency
No.
1,
Series
A
5.00%,
1/1/27
250,000
253,941
Oklahoma
(
1
.1
%
)
Oklahoma
Water
Resources
Board,
Series
2024
C
4.00%,
10/1/44
490,000
486,939
Pennsylvania
(
6
.6
%
)
Allegheny
County
Hospital
Development
Authority,
UPMC
Obligated
Group
Series
2017
D-2
4.32%,
11/15/47(a)
500,000
495,862
City
of
Philadelphia
PA,
Airport
Series
2017
B
(AMT)
5.00%,
7/1/25
500,000
503,695
Pennsylvania
Economic
Development
Financing
Authority,
UPMC
Obligated
Group
Series
2014
A
5.00%,
2/1/25
250,000
250,296
Pennsylvania
Higher
Educational
Facilities
Authority,
Thomas
Jefferson
University
Obligated
Group
Series
2024
B-1
5.25%,
11/1/40
750,000
825,629
Pennsylvania
Turnpike
Commission,
Series
2024-1
5.00%,
6/1/36
750,000
855,012
2,930,494
Puerto
Rico
(
1
.5
%
)
Commonwealth
of
Puerto
Rico,
Series
2022
A-1
5.63%,
7/1/27
221,000
229,112
Puerto
Rico
Sales
Tax
Financing
Corp.
Sales
Tax,
Series
A-2
4.33%,
7/1/40
465,000
459,242
688,354
Rhode
Island
(
1
.0
%
)
Rhode
Island
Housing
&
Mortgage
Finance
Corp.,
Series
84
A
4.40%,
10/1/44
450,000
442,629
South
Carolina
(
0
.6
%
)
South
Carolina
Jobs-Economic
Development
Authority,
Novant
Health
Obligated
Group
Series
2024
A
5.50%,
11/1/48
250,000
276,369
Face
Amount
Value
Tennessee
(
1
.2
%
)
Shelby
County
Health
Educational
&
Housing
Facilities
Board,
Baptist
Memorial
Health
Care
Obligated
Group
Series
2024
A
5.25%,
9/1/39
$
500,000
$
541,133
Texas
(
11
.4
%
)
Aldine
Independent
School
District,
Series
2024
4.00%,
2/15/54
150,000
143,154
Arlington
Higher
Education
Finance
Corp.,
Lifeschool
of
Dallas
Series
2024
4.00%,
8/15/44
375,000
364,742
City
of
Houston
TX,
United
Airlines,
Inc.
Series
2024
B
(AMT)
5.50%,
7/15/35
500,000
531,239
Cypress-Fairbanks
Independent
School
District,
Series
2023
A
5.00%,
2/15/37
250,000
278,831
Dallas
Independent
School
District,
Series
2023
5.00%,
2/15/42
260,000
280,889
EP
Cimarron
Ventanas
PFC,
Series
2024
4.00%,
12/1/34
500,000
486,812
Harris
County
Cultural
Education
Facilities
Finance
Corp.,
Memorial
Hermann
Health
System
Obligated
Group
Series
2022
A
5.00%,
7/1/29
250,000
268,864
Texas
Children's
Hospital
Obligated
Group
Series
2015-1
5.00%,
10/1/28
500,000
506,723
Harris
County
Improvement
District
No.
18,
Series
2024
A
4.00%,
9/1/39
815,000
787,792
Harris
County
Municipal
Utility
District
No.
165,
Series
2024
3.38%,
3/1/41
500,000
434,754
North
Texas
Tollway
Authority,
Series
2023
A
5.00%,
1/1/41
250,000
271,449
Prosper
Independent
School
District,
Series
2024
4.00%,
2/15/54
250,000
237,791
Texas
Private
Activity
Bond
Surface
Transportation
Corp.,
NTE
Mobility
Partners
Segments
3
LLC
Series
2023
(AMT)
5.38%,
6/30/38
250,000
267,890
Texas
Transportation
Commission,
State
Highway
249
System
Series
2019
A
0.00%,
8/1/40
400,000
193,851
5,054,781
Virginia
(
1
.9
%
)
Virginia
Housing
Development
Authority,
Series
2024
E
4.05%,
10/1/44
495,000
472,408
Morgan
Stanley
ETF
Trust
Eaton
Vance
Intermediate
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Municipal
Bonds
(92.3%)
(cont’d)
Virginia
(1.9%)
(cont’d)
Virginia
Small
Business
Financing
Authority,
95
Express
Lanes
LLC
Series
2022
(AMT)
5.00%,
7/1/38
$
335,000
$
346,974
819,382
Washington
(
2
.8
%
)
Energy
Northwest,
Bonneville
Power
Administration
Series
2021
A
5.00%,
7/1/41
405,000
436,751
University
of
Washington,
Series
2024
A
5.00%,
4/1/44
250,000
273,278
Vancouver
Housing
Authority,
Series
2024
4.00%,
8/1/34
250,000
249,191
Washington
State
Housing
Finance
Commission,
Provident
Group-SH
I
Properties
LLC
Series
2024
5.50%,
7/1/44
250,000
273,095
1,232,315
Wisconsin
(
2
.9
%
)
Wisconsin
Health
&
Educational
Facilities
Authority,
Wisconsin
Housing
Preservation
Corp.
Series
2024
A
3.63%,
11/1/29
800,000
788,942
Wisconsin
Housing
&
Economic
Development
Authority,
Housing
Series
2024
B
3.75%,
11/1/55(a)
500,000
497,519
1,286,461
Total
Fixed
Income
Securities
(Cost
$40,403,093)
40,780,362
Shares
Short-Term
Investments
(
6
.8
%
)
Investment
Company
(
6
.0
%
)
BlackRock
Liquidity
Funds
-
MuniCash
-
Institutional
Shares  3.42%
(Cost
$2,646,450)
2,646,186
2,646,450
Face
Amount
Value
Municipal
Bonds
(
0
.8
%
)
Missouri
(
0
.8
%
)
Missouri
Development
Finance
Board,
Nelson
Gallery
Foundation
(The)
Series
2008
A
3.80%,
12/1/37
(Cost
$350,000)(a)
$
350,000
$
350,000
Total
Short-Term
Investments
(Cost
$2,996,450)
2,996,450
Total
Investments
(99.1%)
(Cost
$43,399,543)
(c)
43,776,812
Other
Assets
in
Excess
of
Liabilities
(0.9%)
404,022
Net
Assets
(100.0%)
$44,180,834
(a)
Floating
or
variable
rate
securities:
The
rates
disclosed
are
as
of
December
31,
2024.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
are
indicated
in
the
description
in
the
Portfolio
of
Investments.
Certain
variable
rate
securities
may
not
be
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description
in
the
Portfolio
of
Investments.
(b)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(c)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$43,399,543.
The
aggregate
gross
unrealized
appreciation
is
$682,193
and
the
aggregate
gross
unrealized
depreciation
is
$304,924,
resulting
in
net
unrealized
appreciation
of
$377,269.
AMT
Alternative
Minimum
Tax
Summary
of
Investments
by
State
Classification  
Percentage
of
Total
Investments
Other*
48
.2
%
New
York
19
.0
Texas
11
.5
Illinois
9
.3
Pennsylvania
6
.7
Colorado
5
.3
Total
Investments
100
.0
%
*
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Face
Amount
Value
Fixed
Income
Securities
(96.0%)
Asset-Backed
Securities
(
24
.4
%
)
ACHV
ABS
Trust,
2024-3AL
5.45%,
12/26/31(a)
$
615,000
$
616,229
2024-3AL
5.68%,
12/26/31(a)
269,000
269,670
ACHV
ABS
TRUST,
2023-4CP
7.24%,
11/25/30(a)
250,430
251,283
ACM
Auto
Trust,
2024-2A
6.06%,
2/20/29(a)
933,985
937,474
Affirm
Asset
Securitization
Trust,
2022-Z1
4.55%,
6/15/27(a)
75,110
75,033
Alterna
Funding
III
LLC,
2024-1A
6.26%,
5/16/39(a)
879,804
888,399
AMSR
Trust,
2020-SFR3
2.11%,
9/17/37(a)
975,000
955,555
Amur
Equipment
Finance
Receivables
XII
LLC,
2023-1A
6.09%,
12/20/29(a)
360,830
365,786
Auxilior
Term
Funding
LLC,
2023-1A
6.18%,
12/15/28(a)
725,471
734,112
2024-1A
5.84%,
3/15/27(a)
255,000
256,983
BHG
Securitization
Trust,
2023-A
5.55%,
4/17/36(a)
679,453
681,099
Blackbird
Capital
II
Aircraft
Lease
Ltd.,
2021-1A
2.44%,
7/15/46(a)
578,687
528,942
Cartiga
Asset
Finance
Trust
LLC,
2023-1
7.00%,
3/15/35(a)
67,568
67,607
Cascade
MH
Asset
Trust,
2022-MH1
4.25%,
8/25/54(a)(b)
1,380,734
1,323,309
CFMT
LLC,
2023-HB12
4.25%,
4/25/33(a)(c)
2,025,000
1,976,363
Chesapeake
Funding
II
LLC,
2024-1A
5.52%,
5/15/36(a)
694,839
702,683
CIM
Trust,
2021-NR2
5.57%,
7/25/59(a)(b)
509,486
508,912
Cloud
Capital
Holdco
LP,
2024-1A
5.78%,
11/22/49(a)
780,000
778,633
Cologix
Data
Centers
US
Issuer
LLC,
2021-1A
3.30%,
12/26/51(a)
1,225,000
1,163,769
Face
Amount
Value
Commonbond
Student
Loan
Trust,
2021-AGS
1.20%,
3/25/52(a)
$
749,660
$
610,895
Crockett
Partners
Equipment
Co.
IIA
LLC,
2024-1C
6.05%,
1/20/31(a)
456,198
460,190
Crossroads
Asset
Trust,
2024-A
5.90%,
8/20/30(a)
305,713
309,611
DB
Master
Finance
LLC,
2021-1A
2.05%,
11/20/51(a)
654,750
620,339
Dext
ABS
LLC,
2023-2
6.56%,
5/15/34(a)
784,524
793,640
Diamond
Infrastructure
Funding
LLC,
2021-1A
1.76%,
4/15/49(a)
600,000
560,878
Domino's
Pizza
Master
Issuer
LLC,
2015-1A
4.47%,
10/25/45(a)
463,750
462,493
2018-1A
4.12%,
7/25/48(a)
229,295
228,017
Driven
Brands
Funding
LLC,
2019-2A
3.98%,
10/20/49(a)
1,413,787
1,381,268
ECMC
Group
Student
Loan
Trust,
2020-3A
SOFR30A
+
1.11%,
5.68%,
1/27/70(a)(c)
447,199
446,522
ELFI
Graduate
Loan
Program
LLC,
2021-A
1.53%,
12/26/46(a)
1,081,523
943,633
Falcon
Aerospace
Ltd.,
2019-1
3.60%,
9/15/39(a)
168,605
159,446
FMC
GMSR
Issuer
Trust,
2020-GT1
4.45%,
1/25/26(a)(c)
1,500,000
1,440,566
2022-GT2
7.90%,
7/25/27(a)
1,600,000
1,622,995
FOCUS
Brands
Funding
LLC,
2017-1A
5.09%,
4/30/47(a)
534,650
527,370
GAIA
Aviation
Ltd.,
2019-1
3.97%,
12/15/44(a)(b)
383,319
364,551
GLS
Auto
Select
Receivables
Trust,
2024-1A
5.24%,
3/15/30(a)
689,808
693,525
2024-2A
5.58%,
6/17/30(a)
205,431
207,828
Goddard
Funding
LLC,
2024-1A
6.83%,
10/30/54(a)
658,000
661,041
Golub
Capital
Partners
ABS
Funding
Ltd.,
2020-1A
3.21%,
1/22/29(a)
529,369
520,106
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Asset-Backed
Securities
(24.4%)
(cont’d)
2021-1A
2.77%,
4/20/29(a)
$
1,341,829
$
1,323,837
Horizon
Aircraft
Finance
IV
Ltd.,
2024-1
5.38%,
9/15/49(a)
592,500
575,599
J.P.
Morgan
Mortgage
Trust,
2024-HE1
SOFR30A
+
1.50%,
6.10%,
8/25/54(a)(c)
344,891
347,105
2024-HE2
SOFR30A
+
1.20%,
5.80%,
10/20/54(a)(c)
369,149
371,483
Jersey
Mike's
Funding
LLC,
2019-1A
4.43%,
2/15/50(a)
752,315
743,569
LAD
Auto
Receivables
Trust,
2024-1A
5.23%,
1/18/28(a)
740,000
743,266
Lendbuzz
Securitization
Trust,
2024-1A
6.19%,
8/15/29(a)
977,139
988,023
2024-3A
4.97%,
10/15/29(a)
400,000
400,089
Loanpal
Solar
Loan
Ltd.,
2021-1GS
2.29%,
1/20/48(a)
846,530
670,002
2021-2GS
2.22%,
3/20/48(a)
1,118,356
861,473
Lunar
Structured
Aircraft
Portfolio
Notes,
2021-1
2.64%,
10/15/46(a)
1,385,559
1,267,514
MACH
1
Cayman
Ltd.,
2019-1
3.47%,
10/15/39(a)
254,704
244,824
MAPS
Trust,
2021-1A
2.52%,
6/15/46(a)
234,552
216,645
Monroe
Capital
ABS
Funding
Ltd.,
2021-1A
2.82%,
4/22/31(a)
1,168,107
1,135,682
Mosaic
Solar
Loan
Trust,
2020-1A
2.10%,
4/20/46(a)
150,171
130,442
2021-1A
2.05%,
12/20/46(a)
722,861
547,492
Navigator
Aviation
Ltd.,
2024-1
5.40%,
8/15/49(a)
606,214
593,073
Neighborly
Issuer
LLC,
2021-1A
3.58%,
4/30/51(a)
453,550
418,611
Newtek
Small
Business
Loan
Trust,
2023-1
US
Prime
Rate
-
0.50%,
7.00%,
7/25/50(a)(c)
538,384
544,408
Face
Amount
Value
NRM
FNT1
Excess
LLC,
2024-FNT1
7.40%,
11/25/31(a)
$
346,016
$
348,381
NRZ
Excess
Spread-Collateralized
Notes,
2021-FHT1
3.10%,
7/25/26(a)
379,376
366,188
2021-FNT2
3.23%,
5/25/26(a)
756,405
733,715
2021-GNT1
3.47%,
11/25/26(a)
408,960
391,716
NRZ
FHT
Excess
LLC,
2020-FHT1
4.21%,
11/25/25(a)
171,352
169,217
Octane
Receivables
Trust,
2021-2A
1.21%,
9/20/28(a)
35,356
35,114
2023-1A
5.87%,
5/21/29(a)
259,821
261,056
Option
One
Mortgage
Loan
Trust,
2000-5
CME
Term
SOFR
1
Month
+
0.61%,
4.98%,
8/20/30(c)
25,971
26,194
Oscar
US
Funding
XVI
LLC,
2024-1A
5.48%,
2/10/27(a)
470,841
472,439
Oscar
US
Funding
XVII
LLC,
2024-2A
4.63%,
12/10/27(a)
621,000
620,238
Oxford
Finance
Funding
LLC,
2020-1A
3.10%,
2/15/28(a)
59,742
59,199
PEAC
Solutions
Receivables
LLC,
2024-1A
5.79%,
6/21/27(a)
427,000
431,068
PK
Alift
Loan
Funding
3
LP,
2024-1
5.84%,
9/15/39(a)
338,042
340,329
Planet
Fitness
Master
Issuer
LLC,
2024-1A
5.77%,
6/5/54(a)
662,340
666,234
PNMAC
GMSR
Issuer
Trust,
2024-GT1
CME
Term
SOFR
1
Month
+
3.20%,
7.54%,
3/25/29(a)(c)
700,000
709,760
Post
Road
Equipment
Finance
LLC,
2024-1A
5.59%,
11/15/29(a)
577,713
581,620
Reach
ABS
Trust,
2024-2A
5.88%,
7/15/31(a)
323,786
325,464
ReadyCap
Lending
Small
Business
Loan
Trust,
2019-2
US
Prime
Rate
-
0.50%,
7.00%,
12/27/44(a)(c)
41,644
41,564
Santander
Bank
Auto
Credit-Linked
Notes,
2022-B
11.91%,
8/16/32(a)
850,000
870,044
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Asset-Backed
Securities
(24.4%)
(cont’d)
ServiceMaster
Funding
LLC,
2020-1
2.84%,
1/30/51(a)
$
377,184
$
344,243
Stanwich
Mortgage
Loan
Co.
LLC,
2021-NPB1
6.23%,
10/16/26(a)(b)
91,826
92,097
Start
II
Ltd.,
2019-1
4.09%,
3/15/44(a)
509,060
501,048
Start
Ltd.,
2018-1
4.09%,
5/15/43(a)
849,035
826,890
Stream
Innovations
Issuer
Trust,
2024-1A
6.27%,
7/15/44(a)
281,707
288,768
Subway
Funding
LLC,
2024-3A
5.25%,
7/30/54(a)
423,514
413,328
Sunnova
Helios
V
Issuer
LLC,
2021-A
1.80%,
2/20/48(a)
747,864
549,224
Theorem
Funding
Trust,
2022-3A
7.60%,
4/15/29(a)
73,316
73,921
2022-3A
8.95%,
4/15/29(a)
852,000
877,864
2023-1A
7.58%,
4/15/29(a)
93,716
94,569
Vantage
Data
Centers
Issuer
LLC,
2020-1A
1.65%,
9/15/45(a)
650,000
634,861
VCP
RRL
ABS
I
Ltd.,
2021-1A
2.15%,
10/20/31(a)
274,043
262,540
VOLT
XCVI
LLC,
2021-NPL5
5.12%,
3/27/51(a)(b)
270,131
270,263
Wendy's
Funding
LLC,
2019-1A
3.78%,
6/15/49(a)
225,149
220,106
Wingspire
Equipment
Finance
LLC,
2024-1A
4.99%,
9/20/32(a)
347,000
347,796
51,466,950
Collateralized
Mortgage
Obligations
Agency
Collateral
Series  (
5
.3
%
)
FHLMC
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.19%,
6.81%,
6/1/38(c)
36,784
37,302
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.32%,
6.89%,
7/1/38(c)
91,368
92,753
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.32%,
7.00%,
1/1/36(c)
89,237
90,575
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.32%,
Face
Amount
Value
7.17%,
3/1/37(c)
$
115,034
$
116,886
FHLMC
Gold
Pool,
30
Year
7.50%,
5/1/35
6,484
6,840
8.00%,
8/1/32
3,089
3,194
8.50%,
8/1/31
3,822
4,021
GNMA
I,
30
Year
8.50%,
7/15/30
150
153
GNMA
I,
Single
Family,
30
Year
6.00%,
11/15/38
39,035
40,037
UMBS,
30
Year
6.00%,
9/1/37
21,917
22,760
6.50%,
2/1/28
-
10/1/32
66,354
68,612
7.00%,
7/1/29
-
3/1/37
69,242
72,290
7.50%,
8/1/37
8,087
8,523
8.00%,
4/1/33
13,538
14,007
8.50%,
10/1/32
7,141
7,502
UMBS,
Single
Family,
30
Year
5.00%,
1/25/55,
TBA
5,342,000
5,152,734
5.50%,
1/25/55,
TBA
1,848,000
1,822,806
6.00%,
1/25/55,
TBA
3,659,000
3,675,866
11,236,861
Commercial
Mortgage-Backed
Securities
(
12
.4
%
)
Ajax
Mortgage
Loan
Trust
1.70%,
5/25/59(a)(b)
411,198
379,600
Angel
Oak
SB
Commercial
Mortgage
Trust
2.07%,
5/25/50(a)(c)
473,097
430,124
BAHA
Trust
7.07%,
12/10/41(a)(c)
510,000
523,680
BAMLL
Trust
CME
Term
SOFR
1
Month
+
2.35%,
6.75%,
8/15/39(a)(c)
534,000
538,649
BF
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.50%,
5.90%,
12/15/35(a)(c)
578,000
568,046
BFLD
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.84%,
6.24%,
11/15/41(a)(c)
500,000
501,876
BFLD
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.89%,
6.29%,
7/15/41(a)(c)
562,000
565,511
BPR
Trust
CME
Term
SOFR
1
Month
+
1.90%,
6.30%,
4/15/37(a)(c)
354,000
356,283
Brean
Asset-Backed
Securities
Trust
5.25%,
1/25/63(a)(b)
1,709,748
1,676,781
Bunker
Hill
Loan
Depositary
Trust
1.72%,
2/25/55(a)(c)
75,721
74,103
BX
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
0.81%,
5.21%,
4/15/34(a)(c)
1,100,000
1,068,675
BX
Trust
CME
Term
SOFR
1
Month
+
1.58%,
5.98%,
1/15/39(a)(c)
820,000
818,394
CAMB
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.37%,
5.77%,
12/15/37(a)(c)
1,210,000
1,211,416
CHL
Mortgage
Pass-Through
Trust
5.50%,
5/25/34
28,834
27,981
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Commercial
Mortgage-Backed
Securities
(12.4%)
(cont’d)
CSMC
Trust
3.53%,
8/15/37(a)
$
575,000
$
558,297
3.90%,
4/25/62(a)(c)
1,290,144
1,220,131
Extended
Stay
America
Trust
CME
Term
SOFR
1
Month
+
1.49%,
5.89%,
7/15/38(a)(c)
1,056,949
1,059,570
FHLMC
Seasoned
Credit
Risk
Transfer
Trust
3.00%,
2/25/59
465,056
403,900
FHLMC,
REMIC
SOFR30A
+
1.10%,
5.67%,
5/25/54(c)
821,200
821,637
SOFR30A
+
1.43%,
6.00%,
12/25/54(c)
1,411,954
1,414,077
7.50%,
9/15/29
74,232
75,694
FS
Commercial
Mortgage
Trust
7.07%,
11/10/39(a)
920,000
958,548
GNMA
CME
Term
SOFR
1
Month
+
0.39%,
5.05%,
5/20/63(c)
2,690
2,668
CME
Term
SOFR
1
Month
+
0.56%,
5.22%,
5/20/62(c)
84
84
CME
Term
SOFR
1
Month
+
0.61%,
5.27%,
3/20/61(c)
24,904
24,979
CME
Term
SOFR
1
Month
+
0.67%,
5.33%,
9/20/62(c)
54,525
54,728
CME
Term
SOFR
1
Month
+
0.71%,
5.37%,
1/20/64(c)
16,685
16,756
Great
Wolf
Trust
CME
Term
SOFR
1
Month
+
1.54%,
5.94%,
3/15/39(a)(c)
891,000
893,697
Headlands
Residential
LLC
4.49%,
9/25/26(a)(c)
522,468
516,238
HLTN
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.64%,
6.04%,
6/15/41(a)(c)
322,500
324,314
CME
Term
SOFR
1
Month
+
1.99%,
6.39%,
6/15/41(a)(c)
660,000
664,535
HYT
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.84%,
6.24%,
9/15/41(a)(c)
380,000
381,660
CME
Term
SOFR
1
Month
+
2.84%,
7.24%,
9/15/41(a)(c)
297,000
298,113
JW
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.94%,
6.34%,
6/15/39(a)(c)
436,000
437,635
LHOME
Mortgage
Trust
7.02%,
1/25/29(a)(b)
610,000
617,346
MFA
Trust
6.33%,
9/25/54(b)
488,043
489,418
New
Residential
Mortgage
Loan
Trust
3.75%,
5/28/52(a)(c)
25,398
23,820
3.75%,
8/25/55(a)(c)
59,098
55,662
3.83%,
9/25/57(a)(c)
157,277
144,259
NRTH
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.64%,
6.04%,
3/15/39(a)(c)
480,000
482,100
Face
Amount
Value
NYC
Trust
CME
Term
SOFR
1
Month
+
1.99%,
6.39%,
8/15/29(a)(c)
$
615,000
$
619,995
Oceanview
Mortgage
Loan
Trust
1.73%,
5/28/50(a)(c)
154,798
144,285
ORL
Trust
CME
Term
SOFR
1
Month
+
1.49%,
5.99%,
12/15/39(a)(c)
712,000
714,669
CME
Term
SOFR
1
Month
+
2.79%,
7.29%,
12/15/39(a)(c)
254,000
254,953
Reach
Abs
Trust
6.30%,
2/18/31(a)
206,131
207,936
ROCK
Trust
5.39%,
11/13/41(a)
595,000
593,165
SDR
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.74%,
6.14%,
5/15/39(a)(c)
437,000
433,589
Sequoia
Mortgage
Trust
CME
Term
SOFR
1
Month
+
0.73%,
5.10%,
8/20/34(c)
52,469
48,961
SHR
Trust
CME
Term
SOFR
1
Month
+
1.95%,
6.35%,
10/15/41(a)(c)
500,000
502,963
Silver
Hill
Trust
3.10%,
11/25/49(a)(c)
135,466
135,269
Towd
Point
Mortgage
Trust
CME
Term
SOFR
1
Month
+
0.71%,
5.05%,
2/25/57(a)(c)
15,294
15,999
TX
Trust
CME
Term
SOFR
1
Month
+
1.59%,
5.99%,
6/15/39(a)(c)
375,000
375,473
CME
Term
SOFR
1
Month
+
2.64%,
7.04%,
6/15/39(a)(c)
400,000
400,120
TYSN
Mortgage
Trust
6.58%,
12/10/33(a)(c)
825,000
865,430
25,993,792
Corporate
Bonds
(
43
.7
%
)
Aerospace
&
Defense
(0.9%)
BAE
Systems
plc
5.00%,
3/26/27(a)(d)
636,000
638,956
Boeing
Co.
(The)
6.30%,
5/1/29(d)
788,000
817,210
7.25%,
6/15/25
410,000
413,616
1,869,782
Air
Freight
&
Logistics
(0.2%)
Cargo
Aircraft
Management,
Inc.
4.75%,
2/1/28(a)
446,000
442,789
Automobiles
(1.0%)
General
Motors
Co.
6.80%,
10/1/27(d)
900,000
940,349
Hyundai
Capital
America
5.30%,
6/24/29(a)(d)
429,000
430,521
5.50%,
3/30/26(a)
738,000
742,969
2,113,839
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(43.7%)
(cont’d)
Banks
(14.1%)
Banco
Santander
SA
4.18%,
3/24/28(c)(d)
$
783,000
$
767,327
6.61%,
11/7/28
1,200,000
1,263,043
Bank
of
America
Corp.
4.38%,
4/27/28(c)
2,911,000
2,880,584
5.08%,
1/20/27(c)
1,053,000
1,056,225
Bank
of
Ireland
Group
plc
6.25%,
9/16/26(a)(c)
1,170,000
1,179,949
Barclays
plc
5.30%,
8/9/26(c)
1,601,000
1,604,465
BNP
Paribas
SA
5.13%,
1/13/29(a)(c)(d)
1,112,000
1,111,910
BPCE
SA
5.72%,
1/18/30(a)(c)
250,000
251,388
6.71%,
10/19/29(a)(c)
535,000
556,790
CaixaBank
SA
5.67%,
3/15/30(a)(c)
1,075,000
1,085,896
Capital
One
NA
2.28%,
1/28/26(c)
900,000
898,008
Citigroup,
Inc.
4.60%,
3/9/26
1,223,000
1,220,454
5.61%,
9/29/26(c)
300,000
301,708
HSBC
Holdings
plc
5.60%,
5/17/28(c)
920,000
930,093
Intesa
Sanpaolo
SpA
7.00%,
11/21/25(a)
1,096,000
1,114,966
JPMorgan
Chase
&
Co.
5.57%,
4/22/28(c)(d)
738,000
750,641
6.09%,
10/23/29(c)(d)
1,276,000
1,323,776
KeyBank
NA
5.00%,
1/26/33
286,000
274,417
KeyCorp
5.73%,
5/23/25(c)
950,000
950,869
PNC
Financial
Services
Group,
Inc.
(The)
5.30%,
1/21/28(c)
1,215,000
1,225,592
5.49%,
5/14/30(c)
1,008,000
1,022,540
Societe
Generale
SA
5.63%,
1/19/30(a)(c)
650,000
649,077
Swedbank
AB
6.14%,
9/12/26(a)
1,366,000
1,395,875
Synovus
Bank
5.63%,
2/15/28
625,000
626,309
Synovus
Financial
Corp.
6.17%,
11/1/30(c)
696,000
701,520
Truist
Financial
Corp.
6.05%,
6/8/27(c)
511,000
519,513
U.S.
Bancorp
5.10%,
7/23/30(c)
2,246,000
2,243,880
UniCredit
SpA
2.57%,
9/22/26(a)(c)
1,276,000
1,251,583
Westpac
New
Zealand
Ltd.
5.13%,
2/26/27(a)
625,000
629,676
29,788,074
Capital
Markets
(5.5%)
Antares
Holdings
LP
3.95%,
7/15/26(a)
726,000
705,156
Face
Amount
Value
Blue
Owl
Credit
Income
Corp.
6.60%,
9/15/29(a)
$
560,000
$
571,864
Charles
Schwab
Corp.
(The)
5.88%,
8/24/26(d)
600,000
610,624
CI
Financial
Corp.
3.20%,
12/17/30
831,000
706,966
Goldman
Sachs
Bank
USA
5.41%,
5/21/27(c)
1,851,000
1,865,806
Goldman
Sachs
Group,
Inc.
(The)
5.80%,
8/10/26(c)
732,000
736,285
HAT
Holdings
I
LLC
3.75%,
9/15/30(a)
405,000
357,183
LPL
Holdings,
Inc.
4.00%,
3/15/29(a)
610,000
578,646
6.00%,
5/20/34
319,000
324,986
Macquarie
Group
Ltd.
5.11%,
8/9/26(a)(c)
1,065,000
1,065,435
Marex
Group
plc
6.40%,
11/4/29(d)
469,000
473,965
Nuveen
LLC
5.55%,
1/15/30(a)
596,000
608,119
Oaktree
Strategic
Credit
Fund
8.40%,
11/14/28
350,000
375,122
UBS
Group
AG
4.25%,
3/23/28(a)(d)
2,644,000
2,570,093
11,550,250
Chemicals
(0.5%)
Celanese
US
Holdings
LLC
6.17%,
7/15/27(b)(d)
949,000
963,458
Construction
&
Engineering
(0.2%)
MasTec,
Inc.
5.90%,
6/15/29(d)
495,000
504,270
Consumer
Finance
(2.8%)
Aircastle
Ltd.
5.75%,
10/1/31(a)(d)
565,000
569,086
Ally
Financial,
Inc.
6.85%,
1/3/30(c)
1,070,000
1,109,705
Avolon
Holdings
Funding
Ltd.
4.95%,
1/15/28(a)
1,078,000
1,068,636
Ford
Motor
Credit
Co.
LLC
6.95%,
6/10/26
2,056,000
2,103,886
General
Motors
Financial
Co.,
Inc.
5.40%,
4/6/26
1,051,000
1,057,492
5,908,805
Diversified
REITs
(0.8%)
GLP
Capital
LP
5.25%,
6/1/25
1,005,000
1,005,397
VICI
Properties
LP
3.88%,
2/15/29(a)
696,000
656,340
1,661,737
Electric
Utilities
(0.7%)
NextEra
Energy
Capital
Holdings,
Inc.
5.75%,
9/1/25
1,165,000
1,172,517
6.05%,
3/1/25
360,000
360,668
1,533,185
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(43.7%)
(cont’d)
Electronic
Equipment,
Instruments
&
Components
(1.0%)
Arrow
Electronics,
Inc.
5.15%,
8/21/29(d)
$
407,000
$
405,503
Vontier
Corp.
1.80%,
4/1/26
1,796,000
1,723,898
2,129,401
Entertainment
(1.3%)
Warnermedia
Holdings,
Inc.
3.76%,
3/15/27
1,953,000
1,881,915
6.41%,
3/15/26(d)
775,000
775,317
2,657,232
Financial
Services
(2.6%)
Enact
Holdings,
Inc.
6.25%,
5/28/29
1,354,000
1,380,622
Essent
Group
Ltd.
6.25%,
7/1/29(d)
654,000
668,094
HA
Sustainable
Infrastructure
Capital,
Inc.
6.38%,
7/1/34(a)
938,000
913,976
Radian
Group,
Inc.
4.88%,
3/15/27(d)
1,107,000
1,099,905
Synchrony
Bank
5.40%,
8/22/25
1,506,000
1,508,282
5,570,879
Gas
Utilities
(0.2%)
Ferrellgas
LP
5.38%,
4/1/26(a)
444,000
439,648
Ground
Transportation
(0.4%)
Ashtead
Capital,
Inc.
4.00%,
5/1/28(a)
608,000
584,436
4.25%,
11/1/29(a)
350,000
332,043
916,479
Health
Care
Providers
&
Services
(1.3%)
Centene
Corp.
4.25%,
12/15/27
1,449,000
1,404,731
HCA,
Inc.
5.88%,
2/15/26
1,270,000
1,276,818
2,681,549
Hotels,
Restaurants
&
Leisure
(0.3%)
Las
Vegas
Sands
Corp.
5.90%,
6/1/27(d)
584,000
592,614
Insurance
(2.7%)
American
National
Group,
Inc.
5.75%,
10/1/29(d)
499,000
499,955
Athene
Global
Funding
4.86%,
8/27/26(a)
822,000
821,576
5.52%,
3/25/27(a)
1,170,000
1,184,114
5.62%,
5/8/26(a)
941,000
949,975
Corebridge
Global
Funding
4.65%,
8/20/27(a)(d)
870,000
867,327
Global
Atlantic
Fin
Co.
4.40%,
10/15/29(a)
1,344,000
1,274,747
5,597,694
Face
Amount
Value
IT
Services
(0.3%)
Kyndryl
Holdings,
Inc.
3.15%,
10/15/31
$
786,000
$
681,793
Media
(1.3%)
Charter
Communications
Operating
LLC
4.91%,
7/23/25
479,000
478,598
6.10%,
6/1/29
1,590,000
1,621,356
Videotron
Ltd.
3.63%,
6/15/29(a)
709,000
660,700
2,760,654
Multi-Utilities
(0.7%)
Algonquin
Power
&
Utilities
Corp.
5.37%,
6/15/26(b)
1,359,000
1,366,644
Oil,
Gas
&
Consumable
Fuels
(1.0%)
Columbia
Pipelines
Holding
Co.
LLC
6.04%,
8/15/28(a)
846,000
866,530
Energy
Transfer
LP
5.25%,
7/1/29
696,000
699,765
TerraForm
Power
Operating
LLC
5.00%,
1/31/28(a)
529,000
510,087
2,076,382
Passenger
Airlines
(1.2%)
A/S
Mileage
Plan
IP
Ltd.
5.02%,
10/20/29(a)(d)
506,000
493,392
5.31%,
10/20/31(a)(d)
220,000
214,936
American
Airlines,
Inc.
5.50%,
4/20/26(a)
629,250
627,713
Delta
Air
Lines,
Inc.
4.75%,
10/20/28(a)
1,222,000
1,206,026
2,542,067
Professional
Services
(0.7%)
Concentrix
Corp.
6.60%,
8/2/28(d)
861,000
882,598
6.65%,
8/2/26
600,000
610,716
1,493,314
Specialized
REITs
(0.7%)
EPR
Properties
3.75%,
8/15/29
301,000
279,251
4.50%,
4/1/25
-
6/1/27
300,000
297,638
4.95%,
4/15/28
851,000
837,373
1,414,262
Specialty
Retail
(0.3%)
Lithia
Motors,
Inc.
3.88%,
6/1/29(a)
775,000
708,946
Technology
Hardware,
Storage
&
Peripherals
(0.2%)
Seagate
HDD
Cayman
9.63%,
12/1/32
425,000
479,529
Tobacco
(0.5%)
Imperial
Brands
Finance
plc
5.50%,
2/1/30(a)
1,000,000
1,011,057
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(43.7%)
(cont’d)
Transportation
Infrastructure
(0.3%)
Seaspan
Corp.
5.50%,
8/1/29(a)
$
576,000
$
538,484
91,994,817
Sovereign
(
0
.3
%
)
Petroleos
Mexicanos
6.50%,
3/13/27
662,000
640,543
U.S.
Government
and
Agency
Securities
(
9
.9
%
)
U.S.
Treasury
Notes
4.13%,
3/31/29
3,807,000
3,770,465
4.50%,
5/31/29
4,540,000
4,562,758
4.63%,
6/30/26(d)
12,338,700
12,406,704
20,739,927
Total
Fixed
Income
Securities
(Cost
$202,803,033)
202,072,890
Shares
Investment
Companies
(
3
.2
%
)
Eaton
Vance
Floating-Rate
ETF(d)(e)
104,524
5,264,351
Eaton
Vance
Ultra-Short
Income
ETF(d)(e)
27,000
1,368,630
Total
Investment
Companies
(Cost
$6,648,396)
6,632,981
Short-Term
Investments
(
11
.4
%
)
Investment
Company
(
4
.7
%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(f)
(Cost
$9,858,550)
9,858,550
9,858,550
Security
held
as
Collateral
on
Loaned
Securities
(
6
.0
%
)
Investment
Company
(6.0%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(f)
(Cost
$12,707,884)
12,707,884
12,707,884
Face
Amount
U.S.
Government
and
Agency
Security
(
0
.7
%
)
U.S.
Treasury
Bill
5.09%,
1/16/25
(Cost
$1,526,622)
$
1,530,000
1,527,483
Total
Short-Term
Investments
(Cost
$24,093,056)
24,093,917
Total
Investments
(110.6%)
(Cost
$233,544,485)
(g)
232,799,788
Liabilities
in
Excess
of
Other
Assets
(-10.6%)
(22,254,282)
Net
Assets
(100.0%)
$210,545,506
(a)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(b)
Multi-step
Coupon
rate
changes
in
predetermined
increments
to
maturity.
Rate
disclosed
is
as
of
December
31,
2024.
Maturity
date
disclosed
is
the
ultimate
maturity
date.
(c)
Floating
or
variable
rate
securities:
The
rates
disclosed
are
as
of
December
31,
2024.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
are
indicated
in
the
description
in
the
Portfolio
of
Investments.
Certain
variable
rate
securities
may
not
be
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description
in
the
Portfolio
of
Investments.
(d)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$24,711,842
and
$25,361,459,
respectively.
The
Fund
received
cash
collateral
of
$12,707,884,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$12,653,575
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(e)
For
the
period
ended
December
31,
2024,
the
cost
of
purchases
of
Eaton
Vance
Floating-Rate
ETF
and
Eaton
Vance
Ultra-Short
Income
ETF,
which
may
be
deemed
affiliates
of
the
Adviser
under
the
Investment
Company
Act
of
1940,
were
$1,042,727
and
$355,740,
respectively.
For
the
period
ended
December
31,
2024,
management
fees
related
Fund's
investments
in
Eaton
Vance
Floating-
Rate
ETF
and
Eaton
Vance
Ultra-Short
Income
ETF
were
reduced
by
$6,855
and
$537,
respectively.
(f)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$1,922
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(g)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$233,544,485.
The
aggregate
gross
unrealized
appreciation
is
$1,349,751
and
the
aggregate
gross
unrealized
depreciation
is
$2,094,448,
resulting
in
net
unrealized
depreciation
of
$744,697.
CME
Chicago
Mercantile
Exchange
FHLMC
Federal
Home
Loan
Mortgage
Corp.
GNMA
Government
National
Mortgage
Association
REIT
Real
Estate
Investment
Trust
REMIC
Real
Estate
Mortgage
Investment
Conduit
SDR
Swedish
Depositary
Receipt
SOFR
Secured
Overnight
Financing
Rate
SOFR30A
Secured
Overnight
Financing
Rate
30
Day
Average
TBA
To
Be
Announced;
Security
is
subject
to
delayed
delivery
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Futures
Contracts:
The
Fund
had
the
following
futures
contracts
open
at
December
31,
2024:
Number
of
Contracts
Expiration
Date
Notional
Amount
Value
Unrealized
Appreciation/
(Depreciation)
Long:
U.S.
Treasury
2
Year
Notes
373
Mar-25
$
74,600,000
$
76,692,297
$
(
768
)
Short:
U.S.
Treasury
5
Year
Notes
90
Mar-25
(
9,000,000
)
(
9,567,422
)
51,386
U.S.
Treasury
10
Year
Notes
105
Mar-25
(
10,500,000
)
(
11,418,750
)
99,175
U.S.
Treasury
10
Year
Ultra
Bonds
27
Mar-25
(
2,700,000
)
(
3,005,438
)
37,975
$
187,768
Portfolio
Composition*
Classification  
Percentage
of
Total
Investments
Other**
26‌
.3
%
Asset-Backed
Securities
23‌
.4
Banks
13‌
.5
Commercial
Mortgage-Backed
Securities
11‌
.8
U.S.
Government
and
Agency
Securities
9‌
.4
Capital
Markets
5‌
.3
Short-Term
Investments
5‌
.2
Collateralized
Mortgage
Obligations
Agency
Collateral
Series
5‌
.1
Total
Investments
100‌
.0
%
***
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
***
Does
not
include
open
futures
contracts
with
a
value
of
$
100,683,907
and
net
unrealized
appreciation
of
$
187,768
.
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Face
Amount
Value
Fixed
Income
Securities
(90.7%)
Municipal
Bonds
(
90
.7
%
)
Alabama
(
1
.3
%
)
Black
Belt
Energy
Gas
District,
Series
2023
D-1
5.50%,
6/1/49(a)
$
2,450,000
$
2,590,399
Arizona
(
1
.0
%
)
Chandler
Industrial
Development
Authority,
Intel
Corp.
Series
2007
(AMT)
4.10%,
12/1/37(a)
2,000,000
1,998,581
California
(
5
.1
%
)
California
Community
Choice
Financing
Authority,
Series
2023
F
5.50%,
10/1/54(a)
995,000
1,083,320
California
Health
Facilities
Financing
Authority,
Adventist
Health
System/West
Obligated
Group
Series
2024
A
5.00%,
12/1/28
1,000,000
1,064,702
California
Municipal
Finance
Authority,
United
Airlines,
Inc.
Series
2019
(AMT)
4.00%,
7/15/29
2,000,000
1,970,650
View
at
San
Bruno
LP
Series
2024
A-1
5.00%,
6/1/56(a)
2,500,000
2,633,491
California
Pollution
Control
Financing
Authority,
Waste
Management,
Inc.
Series
2003
A
(AMT)
4.25%,
11/1/38(a)
1,000,000
1,011,024
California
State
Public
Works
Board,
Series
2023
C
5.00%,
9/1/27
1,600,000
1,687,756
State
of
California
Department
of
General
Services
Series
2024
B
5.00%,
4/1/26
1,000,000
1,006,479
10,457,422
Colorado
(
6
.5
%
)
Board
of
Governors
of
Colorado
State
University
System,
Series
2023
A-2
4.38%,
3/1/48(a)
1,000,000
1,041,421
City
of
Lone
Tree
CO,
Series
2024
5.00%,
12/1/26
1,095,000
1,133,237
Colorado
Health
Facilities
Authority,
AdventHealth
Obligated
Group
Series
A-1
5.00%,
11/15/58(a)
2,000,000
2,130,992
CommonSpirit
Health
Obligated
Group
Series
2019
B-2
5.00%,
8/1/49(a)
1,500,000
1,546,726
Colorado
Science
and
Technology
Park
Metropolitan
District
No.
1,
Series
2024
A
5.00%,
12/1/27
360,000
377,929
Series
2024
A
5.00%,
12/1/28
400,000
426,106
Face
Amount
Value
E-470
Public
Highway
Authority,
Series
2000
B
0.00%,
9/1/25
$
2,000,000
$
1,956,358
Series
2024
B
3.74%,
9/1/39(a)
1,000,000
999,679
Lambertson
Farms
Metropolitan
District
No.
1,
Series
2024
A
5.00%,
12/15/26
1,220,000
1,252,555
University
of
Colorado
Hospital
Authority,
Series
2024
B
5.00%,
11/15/31
2,000,000
2,219,794
13,084,797
Connecticut
(
4
.8
%
)
City
of
Danbury
CT,
Series
B
5.00%,
2/24/25(b)
2,600,000
2,605,784
Connecticut
State
Health
&
Educational
Facilities
Authority,
Fairfield
University
Series
S
5.00%,
7/1/26
1,000,000
1,026,750
Yale-New
Haven
Health
Obligated
Group
Series
2024
A
5.00%,
7/1/26
875,000
899,570
Metropolitan
District
(The),
Series
2016C
5.00%,
11/1/31
2,500,000
2,574,498
State
of
Connecticut
CT,
Special
Tax
Series
2023
A
5.00%,
7/1/25
2,400,000
2,423,067
9,529,669
District
of
Columbia
(
0
.5
%
)
District
of
Columbia,
Children's
National
Medical
Center
Obligated
Group
Series
2015
5.00%,
7/15/26
1,000,000
1,017,536
Florida
(
1
.0
%
)
County
of
Broward
FL,
Airport
System
Series
A
(AMT)
5.00%,
10/1/29
2,000,000
2,016,813
Georgia
(
3
.6
%
)
Development
Authority
of
Burke
County
(The),
Georgia
Power
Co.
Series
2012-2
3.30%,
12/1/49(a)
750,000
744,942
Series
2013-1
3.38%,
11/1/53(a)
500,000
500,297
Main
Street
Natural
Gas,
Inc.,
Series
2021
A
4.00%,
7/1/52(a)
2,500,000
2,518,387
Series
2023
D
5.00%,
5/1/54(a)
1,500,000
1,573,621
Municipal
Electric
Authority
of
Georgia,
Series
2024
A
5.00%,
1/1/26
1,000,000
1,017,088
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Municipal
Bonds
(90.7%)
(cont’d)
Georgia
(3.6%)
(cont’d)
Warner
Robins
Housing
Authority
Resident
Council
Corp.,
Arbours
at
Wellston
LLC
Series
2024
5.00%,
2/1/29(a)
$
1,000,000
$
1,041,604
7,395,939
Hawaii
(
0
.7
%
)
Hawaii
Housing
Finance
&
Development
Corp.,
Hale
Moiliili
LP
Series
2024
3.30%,
12/1/29(a)
1,500,000
1,487,844
Illinois
(
14
.2
%
)
Chicago
Board
of
Education,
Series
2017
D
5.00%,
12/1/25
1,200,000
1,206,762
Chicago
Midway
International
Airport,
Series
2023
B
5.00%,
1/1/26
1,000,000
1,018,470
Chicago
O'Hare
International
Airport,
Series
2024
F
5.00%,
1/1/28
1,260,000
1,329,146
City
of
Chicago
IL,
Series
2020
A
5.00%,
1/1/27
2,000,000
2,048,265
City
of
Springfield
IL,
Electric
Series
2024
5.00%,
3/1/30
2,500,000
2,703,176
Cook
County
School
District
No.
87,
Berkeley
Series
2021
5.00%,
12/1/27
1,000,000
1,053,920
Illinois
Finance
Authority,
Series
2020
3.88%,
5/1/40(a)
1,500,000
1,490,069
Ascension
Health
Credit
Group
Series
2016
C
5.00%,
2/15/26
1,925,000
1,964,765
OSF
Healthcare
System
Obligated
Group
Series
2020
B-2
5.00%,
5/15/50(a)
2,500,000
2,542,356
Metropolitan
Pier
&
Exposition
Authority,
State
of
Illinois
McCormick
Place
Expansion
Project
Fund
Series
2023
A
5.00%,
12/15/28
1,000,000
1,041,231
Series
2024
A
5.00%,
6/15/29
1,535,000
1,597,934
Sales
Tax
Securitization
Corp.,
Series
2020
AA
5.00%,
1/1/26
1,875,000
1,909,075
Series
2020
A
5.00%,
1/1/27
1,290,000
1,333,088
State
of
Illinois
IL,
Series
2017
D
5.00%,
11/1/28
2,500,000
2,608,071
Face
Amount
Value
Sales
Tax
Series
2021
A
4.00%,
6/15/25
$
1,750,000
$
1,752,791
Series
2021
C
5.00%,
6/15/28
2,770,000
2,934,613
28,533,732
Indiana
(
1
.8
%
)
City
of
Whiting
IN,
BP
Products
North
America,
Inc.
Series
2019
A
(AMT)
5.00%,
12/1/44(a)
2,500,000
2,533,179
Indiana
Housing
&
Community
Development
Authority,
Triple
P
Apartments
LP
Series
2023
4.10%,
9/1/28(a)
1,000,000
1,002,551
3,535,730
Iowa
(
0
.5
%
)
Iowa
Finance
Authority,
Gevo
NW
Iowa
RNG
LLC
Series
2021
(AMT)
3.88%,
1/1/42(a)
1,000,000
1,001,154
Kentucky
(
0
.8
%
)
University
of
Kentucky,
Series
2014
D
3.00%,
10/1/25
1,600,000
1,595,985
Louisiana
(
0
.7
%
)
Parish
of
St
John
the
Baptist,
Marathon
Oil
Corp.
Series
2017
C
3.30%,
6/1/37(a)
1,340,000
1,319,945
Massachusetts
(
0
.8
%
)
City
of
Quincy
MA,
Series
2024
5.00%,
7/25/25
1,000,000
1,009,902
Massachusetts
Educational
Financing
Authority,
Series
2024
B
(AMT)
5.00%,
7/1/29
575,000
598,313
1,608,215
Michigan
(
4
.1
%
)
Detroit
Downtown
Development
Authority,
Catalyst
Development
Area
Series
2024
5.00%,
7/1/28
1,000,000
1,056,779
Series
2024
5.00%,
7/1/29
1,000,000
1,068,106
Michigan
Finance
Authority,
Series
2024
A-1
5.00%,
7/21/25
1,500,000
1,512,887
Saginaw
Valley
State
University,
Series
2016
A
5.00%,
7/1/30
1,750,000
1,788,629
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Municipal
Bonds
(90.7%)
(cont’d)
Michigan
(4.1%)
(cont’d)
Wayne
County
Airport
Authority,
Detroit
Metropolitan
Wayne
County
Airport
Series
F
(AMT)
5.00%,
12/1/31
$
2,500,000
$
2,520,210
7,946,611
Minnesota
(
0
.8
%
)
Minnesota
Rural
Water
Finance
Authority,
Inc.,
Series
2023
4.38%,
4/1/25
1,500,000
1,499,282
Missouri
(
1
.9
%
)
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri,
BJC
Healthcare
Obligated
Group
Series
2021
A
4.00%,
7/1/26
1,100,000
1,113,300
St
Luke's
Health
System
Obligated
Group
Series
2016
5.00%,
11/15/28
1,300,000
1,331,072
Missouri
Joint
Municipal
Electric
Utility
Commission,
Series
2023
5.00%,
1/1/26
1,345,000
1,368,514
3,812,886
New
Hampshire
(
0
.5
%
)
New
Hampshire
Health
and
Education
Facilities
Authority
Act,
University
System
of
New
Hampshire
Series
2017
A
5.00%,
7/1/30
1,035,000
1,078,255
New
Jersey
(
3
.4
%
)
Bergen
County
Improvement
Authority
(The),
Series
2024
4.00%,
10/16/25
1,000,000
1,006,671
Series
2024
4.50%,
5/28/25
1,000,000
1,004,772
Casino
Reinvestment
Development
Authority,
Inc.,
Series
2024
A
5.00%,
11/1/30
750,000
816,985
Series
2024
A
5.00%,
11/1/31
1,000,000
1,099,764
Hudson
County
Improvement
Authority,
Series
2024
B-1
4.50%,
7/11/25
1,000,000
1,006,327
New
Jersey
Economic
Development
Authority,
New
Jersey-American
Water
Co.,
Inc.
Series
2020
D
(AMT)
1.10%,
11/1/29(a)
2,000,000
1,787,956
6,722,475
New
Mexico
(
0
.2
%
)
New
Mexico
Mortgage
Finance
Authority,
JLG
NM
SAF
2023
LLLP
Series
2023
5.00%,
2/1/42(a)
325,000
325,393
New
York
(
8
.9
%
)
City
of
New
York
NY,
Series
C
5.00%,
8/1/30
2,000,000
2,037,223
Face
Amount
Value
Long
Island
Power
Authority,
Series
2022
B
5.00%,
9/1/52(a)
$
2,000,000
$
2,069,125
New
York
City
Housing
Development
Corp.,
Series
2024
F-2
3.40%,
11/1/64(a)
2,000,000
1,967,460
8
Spruce
NY
Owner
LLC
Series
2024
D
4.00%,
12/15/31
1,000,000
1,015,806
New
York
City
Industrial
Development
Agency,
Yankee
Stadium
LLC
Series
2020
A
4.00%,
3/1/31
1,265,000
1,299,478
New
York
City
Transitional
Finance
Authority,
Future
Tax
Secured
Series
2024
C
5.00%,
5/1/25
500,000
503,139
New
York
State
Dormitory
Authority,
Montefiore
Obligated
Group
Series
2024
5.00%,
11/1/26
375,000
384,259
State
of
New
York
Personal
Income
Tax
Series
2016
D
5.00%,
2/15/25
1,300,000
1,302,861
White
Plains
Hospital
Obligated
Group
Series
2024
5.00%,
10/1/31
200,000
215,140
New
York
State
Housing
Finance
Agency,
State
of
New
York
Personal
Income
Tax
Series
2024
A-2
3.35%,
6/15/54(a)
750,000
746,763
Series
2024
B-2
3.35%,
12/15/54(a)
1,650,000
1,642,294
West
38th
Street
LLC
Series
2014
A
3.57%,
5/1/42(a)
1,500,000
1,488,905
Port
Authority
of
New
York
&
New
Jersey,
Series
242
(AMT)
5.00%,
12/1/26
1,500,000
1,538,034
Series
242
(AMT)
5.00%,
12/1/27
1,500,000
1,564,689
17,775,176
North
Carolina
(
1
.4
%
)
North
Carolina
Housing
Finance
Agency,
Series
55
C
3.20%,
7/1/56(a)
1,015,000
1,010,156
North
Carolina
Municipal
Power
Agency
No.
1,
Series
A
5.00%,
1/1/27
530,000
538,355
North
Carolina
Turnpike
Authority,
Series
2017
5.00%,
1/1/29
1,090,000
1,125,153
2,673,664
Ohio
(
1
.8
%
)
City
of
Hamilton
OH,
Series
2024
4.00%,
12/17/25
835,000
840,037
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Municipal
Bonds
(90.7%)
(cont’d)
Ohio
(1.8%)
(cont’d)
County
of
Franklin,
Trinity
Health
Corp.
Obligated
Group
Series
2013
OH
3.55%,
12/1/46(a)
$
500,000
$
500,327
County
of
Montgomery
OH,
Kettering
Health
Network
Obligated
Group
Series
2021
5.00%,
8/1/26
1,050,000
1,077,236
State
of
Ohio
OH,
Republic
Services,
Inc.
Series
2010
3.70%,
11/1/35(a)
1,250,000
1,249,823
3,667,423
Pennsylvania
(
6
.1
%
)
Allegheny
County
Hospital
Development
Authority,
UPMC
Obligated
Group
Series
2017
D-2
4.32%,
11/15/47(a)
2,000,000
1,983,447
Clairton
Municipal
Authority,
Series
2024
B
5.00%,
12/1/27
1,450,000
1,499,098
Pennsylvania
Economic
Development
Financing
Authority,
UPMC
Obligated
Group
Series
2014
A
5.00%,
2/1/25
750,000
750,889
Waste
Management
Obligated
Group
Series
2011
(AMT)
4.25%,
7/1/41(a)
1,000,000
1,003,525
Pennsylvania
Turnpike
Commission,
Series
2016
B
5.00%,
6/1/29
1,000,000
1,022,159
Pennsylvania
Turnpike
Commission
Registration
Fee,
Series
2023
4.45%,
7/15/41(a)
2,000,000
1,997,027
Redevelopment
Authority
of
the
City
of
Philadelphia,
Series
A
5.00%,
4/15/27
2,000,000
2,010,181
School
District
of
Philadelphia
(The),
Series
2019
A
5.00%,
9/1/28
1,000,000
1,058,822
State
Public
School
Building
Authority,
School
District
of
Philadelphia
(The)
Series
2006
B
5.00%,
6/1/29
1,000,000
1,070,777
12,395,925
Puerto
Rico
(
1
.1
%
)
Commonwealth
of
Puerto
Rico,
Series
2022
A-1
5.63%,
7/1/27
2,198,000
2,278,678
South
Carolina
(
1
.4
%
)
South
Carolina
Jobs-Economic
Development
Authority,
Novant
Health
Obligated
Group
Series
2024
A
5.00%,
11/1/31
2,500,000
2,773,565
Face
Amount
Value
Tennessee
(
0
.4
%
)
Shelby
County
Health
Educational
&
Housing
Facilities
Board,
Baptist
Memorial
Health
Care
Obligated
Group
Series
2024
B
5.00%,
9/1/49(a)
$
750,000
$
790,457
Texas
(
9
.8
%
)
City
of
San
Antonio
TX,
Series
2023
5.64%,
2/1/26
1,500,000
1,500,966
Clifton
Higher
Education
Finance
Corp.,
IDEA
Public
Schools
Series
2019
4.00%,
8/15/31
1,450,000
1,480,741
Cypress-Fairbanks
Independent
School
District,
Series
2023
A
5.00%,
2/15/26
1,000,000
1,021,435
Dallas
Fort
Worth
International
Airport,
Series
2023
B
5.00%,
11/1/25
1,250,000
1,269,719
Series
2023
C
(AMT)
5.00%,
11/1/27
1,250,000
1,297,910
El
Paso
County
Hospital
District,
Series
2024
5.00%,
8/15/30
1,400,000
1,520,342
Harris
County
Cultural
Education
Facilities
Finance
Corp.,
Memorial
Hermann
Health
System
Obligated
Group
Series
2022
A
5.00%,
7/1/29
880,000
946,401
Texas
Children's
Hospital
Obligated
Group
Series
2015-1
5.00%,
10/1/28
2,610,000
2,645,094
Leander
Independent
School
District,
Series
2016
0.00%,
8/16/25
2,500,000
2,447,094
New
Caney
Independent
School
District,
Series
2018
4.00%,
2/15/50(a)
600,000
610,186
North
Texas
Tollway
Authority,
Tollway
System
Series
2023
A
5.00%,
1/1/27
1,000,000
1,037,723
Tarrant
County
Cultural
Education
Facilities
Finance
Corp.,
CHRISTUS
Health
Obligated
Group
Series
2024
B
5.00%,
7/1/30
1,500,000
1,631,249
Texas
Municipal
Gas
Acquisition
and
Supply
Corp.
II,
Series
2012
C
3.74%,
9/15/27(a)
1,240,000
1,241,201
Texas
Water
Development
Board,
State
Water
Implementation
Revenue
Fund
for
Texas
Series
2023
A
5.00%,
10/15/25
1,000,000
1,015,278
19,665,339
Virginia
(
1
.5
%
)
City
of
Bristol
VA,
Series
2023
5.00%,
9/1/27
1,000,000
1,010,592
Morgan
Stanley
ETF
Trust
Eaton
Vance
Short
Duration
Municipal
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Municipal
Bonds
(90.7%)
(cont’d)
Virginia
(1.5%)
(cont’d)
Virginia
Housing
Development
Authority,
Series
2023
E
4.10%,
10/1/27
$
2,000,000
$
2,000,721
3,011,313
Washington
(
2
.1
%
)
Energy
Northwest,
Bonneville
Power
Administration
Series
2020A
5.00%,
7/1/31
1,040,000
1,146,271
Port
of
Seattle,
Series
C
(AMT)
5.00%,
4/1/31
2,000,000
2,001,237
Washington
State
Housing
Finance
Commission,
Ardea
Twg
LLLP
Series
2023
5.00%,
12/1/43(a)
1,000,000
1,020,730
4,168,238
Wisconsin
(
2
.0
%
)
University
of
Wisconsin
Hospitals
&
Clinics,
Series
2024
B
5.00%,
4/1/54(a)
2,000,000
2,191,381
Wisconsin
Housing
&
Economic
Development
Authority,
Housing
Series
2024
B
3.75%,
11/1/55(a)
1,350,000
1,343,301
Wisconsin
Housing
&
Economic
Development
Authority
Housing,
Series
2023
E
3.88%,
11/1/54(a)
500,000
501,398
4,036,080
Total
Fixed
Income
Securities
(Cost
$181,349,787)
181,794,521
Shares
Short-Term
Investments
(
7
.0
%
)
Investment
Company
(
3
.6
%
)
BlackRock
Liquidity
Funds
-
MuniCash
-
Institutional
Shares  3.42%
(Cost
$7,193,325)
7,192,606
7,193,325
Face
Amount
Municipal
Bonds
(
3
.4
%
)
New
York
(
1
.3
%
)
City
of
New
York
NY,
Series
2014
I-2
4.05%,
3/1/40(a)
$
500,000
500,000
New
York
City
Municipal
Water
Finance
Authority,
Water
&
Sewer
System
Series
2023
CC
3.85%,
6/15/53(a)
2,000,000
2,000,000
2,500,000
Face
Amount
Value
Texas
(
1
.6
%
)
Gulf
Coast
Industrial
Development
Authority,
Exxon
Mobil
Corp.
Series
2012
4.05%,
11/1/41(a)
$
3,300,000
$
3,300,000
Wisconsin
(
0
.5
%
)
University
of
Wisconsin
Hospitals
&
Clinics
Authority,
Series
2024
C
3.80%,
4/1/54(a)
1,000,000
1,000,000
Total
Municipal
Bonds
(Cost
$6,800,000)
6,800,000
Total
Short-Term
Investments
(Cost
$13,993,325)
13,993,325
Total
Investments
(97.7%)
(Cost
$195,343,112)
(c)
195,787,846
Other
Assets
in
Excess
of
Liabilities
(2.3%)
4,592,780
Net
Assets
(100.0%)
$200,380,626
(a)
Floating
or
variable
rate
securities:
The
rates
disclosed
are
as
of
December
31,
2024.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
are
indicated
in
the
description
in
the
Portfolio
of
Investments.
Certain
variable
rate
securities
may
not
be
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description
in
the
Portfolio
of
Investments.
(b)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(c)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$195,343,112.
The
aggregate
gross
unrealized
appreciation
is
$876,545
and
the
aggregate
gross
unrealized
depreciation
is
$431,811,
resulting
in
net
unrealized
appreciation
of
$444,734.
AGM
Insured
by
Assured
Guaranty
Municipal
Corp.
AMT
Alternative
Minimum
Tax
CME
Chicago
Mercantile
Exchange
NATL
Insured
by
National
Public
Finance
Guarantee
Corp.
Summary
of
Investments
by
State
Classification  
Percentage
of
Total
Investments
Other*
45
.1
%
Illinois
14
.6
Texas
11
.7
New
York
10
.3
Colorado
6
.7
Pennsylvania
6
.3
California
5
.3
Total
Investments
100
.0
%
*
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Face
Amount
Value
Fixed
Income
Securities
(107.2%)
Asset-Backed
Securities
(
10
.1
%
)
AASET
US
Ltd.,
2018-2A
4.45%,
11/18/38(a)
$
914,628
$
896,708
ACHV
ABS
Trust,
2023-3PL
7.17%,
8/19/30(a)
3,534
3,538
2024-3AL
5.45%,
12/26/31(a)
2,767,000
2,772,528
2024-3AL
5.68%,
12/26/31(a)
1,210,000
1,213,016
2024-3AL
6.75%,
12/26/31(a)
1,750,000
1,760,752
Ally
Bank
Auto
Credit-Linked
Notes,
2024-B
5.12%,
9/15/32(a)
1,545,676
1,547,727
American
Homes
4
Rent
Trust,
2015-SFR2
6.07%,
10/17/52(a)
1,001,000
1,003,305
Aqua
Finance
Trust,
2019-A
3.47%,
7/16/40(a)
508,841
493,720
Ballyrock
CLO
15
Ltd.,
2021-1A
CME
Term
SOFR
3
Month
+
2.85%,
0.00%,
1/15/38(a)(b)
1,000,000
1,003,750
Barings
CLO
Ltd.,
2019-4A
CME
Term
SOFR
3
Month
+
4.60%,
9.26%,
7/15/37(a)(b)
1,000,000
1,013,957
BCMSC
Trust,
1998-C
7.51%,
1/15/29(b)
791,994
776,501
Blackbird
Capital
II
Aircraft
Lease
Ltd.,
2021-1A
2.44%,
7/15/46(a)
1,094,624
1,000,529
CFMT
LLC,
2022-HB9
3.25%,
9/25/37(a)(b)
1,840,000
1,650,395
Cloud
Capital
Holdco
LP,
2024-1A
5.78%,
11/22/49(a)
4,500,000
4,492,114
Cologix
Data
Centers
US
Issuer
LLC,
2021-1A
3.30%,
12/26/51(a)
2,125,000
2,018,783
Conn's
Receivables
Funding
LLC,
2023-A
10.00%,
1/17/28(a)
204,899
205,720
ContiMortgage
Home
Equity
Loan
Trust,
1995-2
8.10%,
8/15/25
17,335
15,725
DB
Master
Finance
LLC,
2017-1A
4.03%,
11/20/47(a)
2,558,780
2,485,694
2021-1A
2.05%,
11/20/51(a)
2,054,460
1,946,485
Face
Amount
Value
Dell
Equipment
Finance
Trust,
2023-3
5.93%,
4/23/29(a)
$
675,000
$
684,204
Driven
Brands
Funding
LLC,
2019-1A
4.64%,
4/20/49(a)
3,186,028
3,159,951
2019-2A
3.98%,
10/20/49(a)
2,317,684
2,264,373
ELFI
Graduate
Loan
Program
LLC,
2022-A
4.51%,
8/26/47(a)
1,212,090
1,163,561
Elmwood
CLO
32
Ltd.,
2024-8A
CME
Term
SOFR
3
Month
+
2.85%,
7.65%,
10/18/37(a)(b)
1,000,000
1,016,747
Falcon
Aerospace
Ltd.,
2019-1
3.60%,
9/15/39(a)
1,087,501
1,028,424
FirstKey
Homes
Trust,
2021-SFR2
3.41%,
9/17/38(a)
1,000,000
929,588
2021-SFR3
3.98%,
12/17/38(a)
1,000,000
927,093
FMC
GMSR
Issuer
Trust,
2022-GT2
7.90%,
7/25/27(a)
2,675,000
2,713,444
FMC
Issuer
Trust-FMSR,
2024-FT1
6.56%,
9/25/29(a)
2,810,000
2,791,666
FOCUS
Brands
Funding
LLC,
2017-1A
5.09%,
4/30/47(a)
1,938,800
1,912,401
FortiFi,
2023-1A
6.23%,
9/20/59(a)
2,613,757
2,573,708
GCI
Funding
I
LLC,
2020-1
2.82%,
10/18/45(a)
535,767
494,887
Goddard
Funding
LLC,
2024-1A
6.83%,
10/30/54(a)
1,509,000
1,515,974
Golub
Capital
Partners
ABS
Funding
Ltd.,
2020-1A
3.21%,
1/22/29(a)
1,280,606
1,258,198
2021-1A
2.77%,
4/20/29(a)
680,638
671,511
Goodgreen
Trust,
2020-1A
5.53%,
4/15/55(a)
1,438,770
1,170,181
2021-1A
5.74%,
10/15/56(a)
2,043,062
1,673,423
Harvest
US
CLO
Ltd.,
2024-2A
CME
Term
SOFR
3
Month
+
3.25%,
8.06%,
10/15/37(a)(b)
1,500,000
1,524,010
Horizon
Aircraft
Finance
IV
Ltd.,
2024-1
5.38%,
9/15/49(a)
1,975,000
1,918,664
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Asset-Backed
Securities
(10.1%)
(cont’d)
Jersey
Mike's
Funding
LLC,
2019-1A
4.43%,
2/15/50(a)
$
1,907,585
$
1,885,408
JOL
Air
Ltd.,
2019-1
4.95%,
4/15/44(a)
181,521
177,099
Loanpal
Solar
Loan
Ltd.,
2021-1GS
2.29%,
1/20/48(a)
882,084
698,142
Lunar
Aircraft
Ltd.,
2020-1A
3.38%,
2/15/45(a)
250,661
241,599
MACH
1
Cayman
Ltd.,
2019-1
3.47%,
10/15/39(a)
555,718
534,161
Madison
Park
Funding
LV
Ltd.,
2022-55A
CME
Term
SOFR
3
Month
+
3.15%,
7.78%,
7/18/37(a)(b)
1,500,000
1,521,048
Magnetite
XXII
Ltd.,
2019-22A
CME
Term
SOFR
3
Month
+
4.15%,
8.81%,
7/15/36(a)(b)
500,000
501,518
2019-22A
CME
Term
SOFR
3
Month
+
2.90%,
7.56%,
7/15/36(a)(b)
1,500,000
1,514,329
MAPS
Ltd.,
2018-1A
4.21%,
5/15/43(a)
95,777
95,174
Marlette
Funding
Trust,
2023-3A
6.71%,
9/15/33(a)
2,036,822
2,047,334
Mosaic
Solar
Loan
Trust,
2020-1A
2.10%,
4/20/46(a)
412,971
358,715
Navigator
Aviation
Ltd.,
2024-1
5.40%,
8/15/49(a)
2,003,143
1,959,719
Neighborly
Issuer
LLC,
2021-1A
3.58%,
4/30/51(a)
3,609,100
3,331,074
Newtek
Small
Business
Loan
Trust,
2023-1
US
Prime
Rate
-
0.50%,
7.00%,
7/25/50(a)(b)
771,683
780,317
NRM
FNT1
Excess
LLC,
2024-FNT1
7.40%,
11/25/31(a)
2,715,267
2,733,822
Oaktree
CLO
Ltd.,
2019-4A
CME
Term
SOFR
3
Month
+
4.70%,
9.32%,
7/20/37(a)(b)
1,000,000
1,006,985
Oportun
Funding
Trust,
2024-3
5.48%,
8/15/29(a)
1,020,000
1,020,493
Face
Amount
Value
Oportun
Issuance
Trust,
2021-C
2.18%,
10/8/31(a)
$
1,814,420
$
1,760,321
Oscar
US
Funding
XVI
LLC,
2024-1A
5.48%,
2/10/27(a)
1,825,473
1,831,668
Planet
Fitness
Master
Issuer
LLC,
2024-1A
5.77%,
6/5/54(a)
2,067,818
2,079,973
PMC
PLS
ESR
Issuer
LLC,
2022-PLS1
5.11%,
2/25/27(a)(c)
1,067,443
1,064,568
PMT
Issuer
Trust-FMSR,
2021-FT1
CME
Term
SOFR
1
Month
+
3.11%,
7.45%,
3/25/26(a)(b)
3,900,000
3,918,649
Progress
Residential,
2021-SFR4
2.31%,
5/17/38(a)
650,000
630,433
PRPM
LLC,
2022-3
5.56%,
6/25/27(a)(c)
1,834,296
1,832,828
ReadyCap
Lending
Small
Business
Loan
Trust,
2019-2
US
Prime
Rate
-
0.50%,
7.00%,
12/27/44(a)(b)
138,814
138,548
Retained
Vantage
Data
Centers
Issuer
LLC,
2023-1A
5.00%,
9/15/48(a)
1,423,000
1,401,595
ServiceMaster
Funding
LLC,
2020-1
2.84%,
1/30/51(a)
1,456,873
1,329,640
2021-1
2.87%,
7/30/51(a)
2,673,687
2,405,314
SERVPRO
Master
Issuer
LLC,
2024-1A
6.17%,
1/25/54(a)
625,275
628,386
Sixth
Street
CLO
XV
Ltd.,
2020-15A
CME
Term
SOFR
3
Month
+
3.15%,
7.98%,
10/24/37(a)(b)
750,000
760,909
Stanwich
Mortgage
Loan
Co.
LLC,
2021-NPB1
6.23%,
10/16/26(a)(c)
143,169
143,593
STAR
Trust,
2021-SFR1
CME
Term
SOFR
1
Month
+
3.31%,
7.70%,
4/17/38(a)(b)
800,000
779,814
2024-SFR4
CME
Term
SOFR
1
Month
+
2.95%,
7.33%,
10/17/41(a)(b)
3,095,000
3,101,179
Start
II
Ltd.,
2019-1
4.09%,
3/15/44(a)
215,372
211,982
Start
Ltd.,
2018-1
4.09%,
5/15/43(a)
1,768,823
1,722,687
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Asset-Backed
Securities
(10.1%)
(cont’d)
Subway
Funding
LLC,
2024-3A
5.25%,
7/30/54(a)
$
1,681,461
$
1,641,021
2024-3A
5.57%,
7/30/54(a)
915,000
891,782
Sunbird
Engine
Finance
LLC,
2020-1A
3.67%,
2/15/45(a)
712,643
686,412
Sunnova
Hestia
I
Issuer
LLC,
2023-GRID1
5.75%,
12/20/50(a)
460,276
466,622
Taco
Bell
Funding
LLC,
2021-1A
1.95%,
8/25/51(a)
1,139,700
1,065,579
Wendy's
Funding
LLC,
2018-1A
3.88%,
3/15/48(a)
1,859,695
1,784,670
2019-1A
3.78%,
6/15/49(a)
1,022,517
999,611
Willis
Engine
Structured
Trust
VII,
2023-A
8.00%,
10/15/48(a)
638,832
661,998
112,039,674
Collateralized
Mortgage
Obligations
Agency
Collateral
Series  (
27
.2
%
)
FHLMC
Gold
Pool,
30
Year
4.00%,
6/1/44
-
1/1/48
261,159
244,307
6.00%,
10/1/36
-
8/1/38
31,905
33,171
6.50%,
12/1/25
-
8/1/33
38,091
39,578
7.00%,
2/1/29
-
11/1/31
6,046
6,293
FHLMC
Gold
Pool,
Other
3.50%,
4/1/49
-
8/1/49
161,682
143,453
4.00%,
10/1/49
-
11/1/49
119,955
109,526
5.41%,
8/1/37
1,901
1,911
5.44%,
1/1/37
-
2/1/38
35,949
34,222
5.46%,
8/1/37
-
1/1/38
25,045
23,797
5.50%,
8/1/37
-
11/1/37
36,419
35,121
5.62%,
12/1/36
-
8/1/37
34,660
33,474
FNMA,
30
Year
3.50%,
2/1/48
-
5/1/48
803,189
719,633
5.62%,
12/1/36
15,619
15,018
FNMA,
Other
3.50%,
1/1/48
-
1/1/50
1,004,964
892,758
4.00%,
8/1/49
-
9/1/49
361,615
330,178
4.50%,
3/1/49
-
8/1/49
357,931
336,610
FNMA,
REMIC
5.50%,
5/1/54
-
9/1/54
12,081,061
11,928,173
GNMA
I,
30
Year
6.50%,
5/15/40
142,581
145,911
GNMA
II,
Other
4.50%,
5/20/49
-
7/20/49
125,745
118,406
GNMA
II,
Single
Family,
30
Year
3.50%,
11/20/40
-
7/20/46
319,753
292,791
4.00%,
8/20/41
-
11/20/49
1,724,879
1,603,402
4.50%,
4/20/49
22,679
21,739
5.00%,
12/20/48
13,379
12,354
UMBS
Pool,
30
Year
4.00%,
4/1/49
304,609
281,745
Face
Amount
Value
4.50%,
2/1/49
$
254,754
$
242,903
UMBS,
30
Year
4.00%,
11/1/41
-
3/1/49
1,788,040
1,674,458
4.50%,
3/1/41
-
11/1/44
495,704
480,240
5.00%,
3/1/41
60,209
60,066
5.50%,
6/1/35
-
1/1/37
22,438
22,946
6.50%,
6/1/26
-
1/1/34
230,462
237,627
7.00%,
5/1/28
-
12/1/33
38,263
39,860
9.50%,
4/1/30
495
496
UMBS,
Single
Family,
30
Year
4.50%,
1/25/55,
TBA
6,657,175
6,258,784
5.00%,
1/25/55,
TBA
87,936,000
84,820,449
5.50%,
1/25/55,
TBA
134,757,000
132,919,878
6.00%,
1/25/55,
TBA
57,274,000
57,537,996
301,699,274
Commercial
Mortgage-Backed
Securities
(
10
.7
%
)
Adjustable
Rate
Mortgage
Trust
5.60%,
6/25/35(b)
13,264
13,216
Ajax
Mortgage
Loan
Trust
1.70%,
5/25/59(a)(c)
1,079,394
996,451
Alternative
Loan
Trust
CME
Term
SOFR
1
Month
+
0.47%,
4.81%,
5/25/47(b)
60,498
55,755
BAHA
Trust
7.07%,
12/10/41(a)(b)
2,330,000
2,392,498
BAMLL
Trust
CME
Term
SOFR
1
Month
+
2.35%,
6.75%,
8/15/39(a)(b)
1,359,000
1,370,831
Banc
of
America
Alternative
Loan
Trust
CME
Term
SOFR
1
Month
+
0.76%,
5.10%,
7/25/46(b)
80,759
63,616
6.36%,
10/25/36(c)
377,034
108,189
Banc
of
America
Funding
Trust
5.25%,
7/25/37
5,811
5,635
BANK
2.92%,
12/15/53(b)
4,200,000
2,328,192
IO
0.83%,
10/17/52(b)
13,704,584
425,974
BBCMS
Mortgage
Trust
IO
0.46%,
12/15/55(b)
18,319,783
610,397
Bear
Stearns
ARM
Trust
5.20%,
2/25/34(b)
338,766
320,936
Benchmark
Mortgage
Trust
3.76%,
7/15/53(a)
2,000,000
1,965,228
IO
0.88%,
9/15/48(a)(b)
31,000,000
554,126
BF
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.50%,
5.90%,
12/15/35(a)(b)
2,222,000
2,183,734
CME
Term
SOFR
1
Month
+
2.00%,
6.40%,
12/15/35(a)(b)
2,500,000
2,324,104
BFLD
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.84%,
6.24%,
11/15/41(a)(b)
3,000,000
3,011,254
BPR
Trust
CME
Term
SOFR
1
Month
+
3.00%,
7.40%,
5/15/39(a)(b)
2,320,000
2,332,180
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Commercial
Mortgage-Backed
Securities
(10.7%)
(cont’d)
BRAVO
Residential
Funding
Trust
2.00%,
5/25/59(a)(b)
$
1,180,668
$
1,082,104
Brean
Asset-Backed
Securities
Trust
1.40%,
10/25/63(a)(b)
1,960,434
1,777,205
BX
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
3.14%,
7.54%,
6/15/27(a)(b)
5,100,000
5,146,387
CFMT
LLC
3.75%,
4/25/25(a)(b)
2,650,000
2,594,335
ChaseFlex
Trust
6.00%,
2/25/37
586,067
207,632
Citigroup
Commercial
Mortgage
Trust
IO
0.71%,
11/10/48(b)
2,258,058
11,675
0.86%,
9/10/58(b)
3,985,415
18,809
COLT
Trust
1.67%,
9/25/61(a)(b)
1,073,556
948,073
Commercial
Mortgage
Trust
3.40%,
8/15/57(a)(b)
1,400,000
1,260,214
Extended
Stay
America
Trust
CME
Term
SOFR
1
Month
+
2.36%,
6.76%,
7/15/38(a)(b)
3,690,513
3,706,544
FHLMC
Seasoned
Credit
Risk
Transfer
Trust
3.00%,
9/25/55
854,165
730,946
3.00%,
8/25/57
609,005
519,224
3.00%,
3/25/58
836,382
712,117
4.25%,
8/25/59(a)(b)
2,700,000
2,553,393
4.25%,
11/25/60(a)(b)
750,000
705,455
4.75%,
10/25/58(b)
1,170,515
1,130,110
FHLMC,
Multifamily
Structured
Pass-Through
Certificates
IO
REMIC
2.63%,
1/25/49(b)
17,200,000
2,243,798
2.63%,
1/25/49(b)
4,091,469
497,633
2.65%,
2/25/49(b)
9,522,157
1,224,125
2.74%,
8/25/48(b)
5,484,002
649,891
3.07%,
11/25/36(b)
4,400,000
1,054,297
3.21%,
5/25/32(b)
11,220,034
2,054,702
FHLMC,
REMIC
SOFR30A
+
1.43%,
6.00%,
12/25/54(b)
6,393,996
6,403,607
IO
REMIC
SOFR30A
+
5.89%,
1.29%,
11/15/43(b)
317,123
21,436
FNMA,
REMIC
7.00%,
9/25/32
63,457
66,121
IO
REMIC
8.00%,
9/18/27
10,492
672
FNMA,
Strips
IO
REMIC
6.50%,
9/25/29
13,588
1,225
6.50%,
9/25/29
5,523
471
6.50%,
9/25/29
8,786
698
6.50%,
12/25/29
12,868
1,091
6.50%,
12/25/29
5,452
458
6.50%,
12/25/29
7,986
674
6.50%,
12/25/29
10,084
806
8.50%,
10/25/25
78
1
Face
Amount
Value
FREMF
Mortgage
Trust
SOFR30A
+
5.36%,
10.03%,
7/25/26(a)(b)
$
44,850
$
26,523
FS
Commercial
Mortgage
Trust
7.07%,
11/10/39(a)
1,775,000
1,849,373
GNMA
IO
REMIC
5.00%,
2/16/41
63,692
12,748
Great
Wolf
Trust
CME
Term
SOFR
1
Month
+
1.54%,
5.94%,
3/15/39(a)(b)
1,370,000
1,374,147
GS
Mortgage
Securities
Trust
IO
0.33%,
9/10/47(b)
455,361
202
1.19%,
10/10/48(b)
4,306,211
30,100
GWT
CME
Term
SOFR
1
Month
+
1.69%,
6.09%,
5/15/41(a)(b)
3,613,000
3,640,098
Headlands
Residential
LLC
4.49%,
9/25/26(a)(b)
894,121
883,459
HLTN
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.64%,
6.04%,
6/15/41(a)(b)
3,164,100
3,181,893
CME
Term
SOFR
1
Month
+
2.54%,
6.94%,
6/15/41(a)(b)
810,000
816,074
HYT
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
2.34%,
6.74%,
9/15/41(a)(b)
1,028,000
1,032,170
J.P.
Morgan
Chase
Commercial
Mortgage
Securities
Trust
IO
0.57%,
12/15/49(b)
3,479,038
27,136
0.72%,
4/15/46(b)
6,956,250
25,875
J.P.
Morgan
Mortgage
Trust
5.07%,
6/25/37(b)
43,679
35,099
JW
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.62%,
6.02%,
6/15/39(a)(b)
4,000,000
4,016,256
CME
Term
SOFR
1
Month
+
1.94%,
6.34%,
6/15/39(a)(b)
885,000
888,319
Lehman
Mortgage
Trust
6.50%,
9/25/37
619,816
199,101
LHOME
Mortgage
Trust
7.02%,
1/25/29(a)(c)
3,290,000
3,329,623
8.00%,
6/25/28(a)(c)
751,000
760,530
MF1X
CME
Term
SOFR
1
Month
+
2.82%,
7.22%,
12/15/34(a)(b)
4,350,000
4,275,559
MFT
Mortgage
Trust
3.28%,
8/10/40(a)(b)
1,000,000
660,590
Natixis
Commercial
Mortgage
Securities
Trust
4.32%,
1/15/43(a)(b)
800,000
676,622
NRTH
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.64%,
6.04%,
3/15/39(a)(b)
4,633,000
4,653,268
NYC
Trust
CME
Term
SOFR
1
Month
+
1.99%,
6.39%,
8/15/29(a)(b)
3,794,000
3,824,813
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Commercial
Mortgage-Backed
Securities
(10.7%)
(cont’d)
Olympic
Tower
Mortgage
Trust
3.57%,
5/10/39(a)
$
2,900,000
$
2,633,669
ORL
Trust
CME
Term
SOFR
1
Month
+
1.49%,
5.99%,
12/15/39(a)(b)
3,847,000
3,861,424
CME
Term
SOFR
1
Month
+
2.79%,
7.29%,
12/15/39(a)(b)
1,367,000
1,372,128
ROCK
Trust
5.39%,
11/13/41(a)
2,490,000
2,482,319
5.93%,
11/13/41(a)
1,540,000
1,543,921
SDR
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.39%,
5.79%,
5/15/39(a)(b)
1,193,000
1,197,103
SG
Commercial
Mortgage
Securities
Trust
3.73%,
3/15/37(a)(b)
1,900,000
1,617,182
SHR
Trust
CME
Term
SOFR
1
Month
+
1.95%,
6.35%,
10/15/41(a)(b)
3,475,000
3,495,590
SLG
Office
Trust
IO
0.26%,
7/15/41(a)(b)
34,800,000
452,877
TX
Trust
CME
Term
SOFR
1
Month
+
1.59%,
5.99%,
6/15/39(a)(b)
3,350,000
3,354,221
TYSN
Mortgage
Trust
6.58%,
12/10/33(a)(b)
1,717,000
1,801,143
118,419,400
Corporate
Bonds
(
29
.3
%
)
Aerospace
&
Defense
(0.4%)
Boeing
Co.
(The)
5.15%,
5/1/30
1,491,000
1,471,206
6.53%,
5/1/34
2,411,000
2,527,039
3,998,245
Air
Freight
&
Logistics
(0.1%)
Cargo
Aircraft
Management,
Inc.
4.75%,
2/1/28(a)
807,000
801,190
Automobiles
(0.7%)
Ford
Motor
Co.
3.25%,
2/12/32(d)
5,595,000
4,654,848
Hyundai
Capital
America
5.30%,
6/24/29(a)(d)
2,792,000
2,801,902
7,456,750
Banks
(8.4%)
AIB
Group
plc
5.87%,
3/28/35(a)(b)(d)
2,976,000
2,983,028
Banco
de
Credito
e
Inversiones
SA
2.88%,
10/14/31(a)
1,270,000
1,073,661
Banco
Santander
SA
4.18%,
3/24/28(b)
2,136,000
2,093,243
5.44%,
7/15/31
550,000
549,191
5.54%,
3/14/30(b)(d)
1,895,000
1,904,312
6.35%,
3/14/34
3,260,000
3,307,272
Bank
of
America
Corp.
3.97%,
2/7/30(b)
3,406,000
3,265,560
5.47%,
1/23/35(b)
7,141,000
7,152,048
Face
Amount
Value
Bank
of
Ireland
Group
plc
2.03%,
9/30/27(a)(b)(d)
$
1,451,000
$
1,380,657
5.60%,
3/20/30(a)(b)
2,455,000
2,479,395
Bank
of
Nova
Scotia
(The)
8.00%,
1/27/84(b)
2,090,000
2,204,461
Barclays
plc
5.50%,
8/9/28(b)
2,323,000
2,348,704
BBVA
Bancomer
SA
5.13%,
1/18/33(a)(b)
2,550,000
2,373,965
8.13%,
1/8/39(a)(b)
1,957,000
1,997,883
BNP
Paribas
SA
5.13%,
1/13/29(a)(b)(d)
2,295,000
2,294,814
7.75%,
8/16/29(a)(b)(e)
1,550,000
1,588,401
BPCE
SA
5.72%,
1/18/30(a)(b)
1,517,000
1,525,423
CaixaBank
SA
6.04%,
6/15/35(a)(b)
2,009,000
2,028,613
6.84%,
9/13/34(a)(b)
2,157,000
2,295,000
Credit
Agricole
SA
6.25%,
1/10/35(a)(b)
3,156,000
3,170,704
Intesa
Sanpaolo
SpA
8.25%,
11/21/33(a)(b)
4,678,000
5,250,020
JPMorgan
Chase
&
Co.
5.58%,
4/22/30(b)
9,394,000
9,582,377
5.77%,
4/22/35(b)
2,639,000
2,700,601
KeyBank
NA
5.00%,
1/26/33
3,627,000
3,480,111
PNC
Financial
Services
Group,
Inc.
(The)
5.40%,
7/23/35(b)
1,386,000
1,375,936
5.68%,
1/22/35(b)
917,000
928,001
6.88%,
10/20/34(b)(d)
1,803,000
1,968,860
Santander
UK
Group
Holdings
plc
3.82%,
11/3/28(b)
1,045,000
1,006,754
Societe
Generale
SA
2.63%,
1/22/25(a)
1,625,000
1,622,813
5.63%,
1/19/30(a)(b)
1,808,000
1,805,433
Swedbank
AB
5.41%,
3/14/29(a)
1,200,000
1,211,065
Synovus
Bank
5.63%,
2/15/28
1,710,000
1,713,582
Synovus
Financial
Corp.
6.17%,
11/1/30(b)
2,282,000
2,300,099
Toronto-Dominion
Bank
(The)
8.13%,
10/31/82(b)
3,321,000
3,469,848
U.S.
Bancorp
5.68%,
1/23/35(b)(d)
3,242,000
3,270,720
5.84%,
6/12/34(b)
1,139,000
1,161,539
5.85%,
10/21/33(b)(d)
2,887,000
2,951,676
93,815,770
Capital
Markets
(3.3%)
Antares
Holdings
LP
6.35%,
10/23/29(a)(d)
313,000
310,702
6.50%,
2/8/29(a)
250,000
249,936
Apollo
Debt
Solutions
BDC
6.70%,
7/29/31(a)
780,000
801,409
Blue
Owl
Credit
Income
Corp.
6.65%,
3/15/31(d)
1,500,000
1,527,460
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(29.3%)
(cont’d)
Brookfield
Finance,
Inc.
5.68%,
1/15/35
$
3,236,000
$
3,261,208
6.30%,
1/15/55(b)
1,714,000
1,680,251
Charles
Schwab
Corp.
(The)
5.85%,
5/19/34(b)
2,291,000
2,359,322
6.14%,
8/24/34(b)(d)
2,540,000
2,668,074
CI
Financial
Corp.
3.20%,
12/17/30
4,062,000
3,455,713
HAT
Holdings
I
LLC
3.75%,
9/15/30(a)
2,138,000
1,885,575
Jefferies
Financial
Group,
Inc.
6.20%,
4/14/34(d)
4,345,000
4,480,311
LPL
Holdings,
Inc.
4.00%,
3/15/29(a)
2,701,000
2,562,169
6.00%,
5/20/34
1,612,000
1,642,248
Marex
Group
plc
6.40%,
11/4/29(d)
4,874,000
4,925,600
Nuveen
LLC
5.85%,
4/15/34(a)
2,869,000
2,904,954
TPG
Operating
Group
II
LP
5.88%,
3/5/34
1,819,000
1,861,614
36,576,546
Chemicals
(0.2%)
Olympus
Water
US
Holding
Corp.
9.75%,
11/15/28(a)
2,125,000
2,257,316
Commercial
Services
&
Supplies
(0.2%)
Allied
Universal
Holdco
LLC
4.63%,
6/1/28(a)
2,729,000
2,573,036
Construction
&
Engineering
(0.4%)
Artera
Services
LLC
8.50%,
2/15/31(a)
2,381,260
2,297,706
MasTec,
Inc.
5.90%,
6/15/29(d)
1,734,000
1,766,474
4,064,180
Consumer
Finance
(2.0%)
Aircastle
Ltd.
5.75%,
10/1/31(a)(d)
3,430,000
3,454,802
Ally
Financial,
Inc.
4.70%,
5/15/26(b)(e)
2,115,000
1,980,255
6.85%,
1/3/30(b)
6,508,000
6,749,493
Ford
Motor
Credit
Co.
LLC
7.12%,
11/7/33
2,212,000
2,309,752
7.35%,
3/6/30
1,102,000
1,167,458
General
Motors
Financial
Co.,
Inc.
5.80%,
1/7/29(d)
2,494,000
2,545,435
5.95%,
4/4/34
3,729,000
3,750,358
21,957,553
Consumer
Staples
Distribution
&
Retail
(0.2%)
Kroger
Co.
(The)
5.00%,
9/15/34
1,864,000
1,806,361
Containers
&
Packaging
(0.1%)
Trivium
Packaging
Finance
BV
5.50%,
8/15/26(a)
1,643,000
1,625,740
Face
Amount
Value
Diversified
REITs
(0.3%)
VICI
Properties
LP
5.13%,
11/15/31
-
5/15/32
$
2,319,000
$
2,260,668
5.75%,
4/1/34
1,117,000
1,128,044
3,388,712
Diversified
Telecommunication
Services
(0.1%)
Virgin
Media
Secured
Finance
plc
5.50%,
5/15/29(a)
1,461,000
1,371,989
Electric
Utilities
(0.2%)
Vistra
Operations
Co.
LLC
5.70%,
12/30/34(a)
2,704,000
2,677,311
Electronic
Equipment,
Instruments
&
Components
(0.2%)
Arrow
Electronics,
Inc.
5.15%,
8/21/29(d)
2,509,000
2,499,770
Entertainment
(0.4%)
Playtika
Holding
Corp.
4.25%,
3/15/29(a)
1,447,000
1,317,300
Warnermedia
Holdings,
Inc.
4.28%,
3/15/32(d)
4,015,000
3,539,110
4,856,410
Financial
Services
(1.8%)
Enact
Holdings,
Inc.
6.25%,
5/28/29(d)
4,561,000
4,650,677
Essent
Group
Ltd.
6.25%,
7/1/29(d)
3,681,000
3,760,329
HA
Sustainable
Infrastructure
Capital,
Inc.
6.38%,
7/1/34(a)
8,637,000
8,415,786
Nationwide
Building
Society
4.30%,
3/8/29(a)(b)
1,272,000
1,236,109
Rocket
Mortgage
LLC
3.88%,
3/1/31(a)
2,720,000
2,371,628
20,434,529
Food
Products
(0.3%)
Gruma
SAB
de
CV
5.76%,
12/9/54(a)
1,470,000
1,392,825
Smithfield
Foods,
Inc.
5.20%,
4/1/29(a)
1,976,000
1,936,452
3,329,277
Gas
Utilities
(0.3%)
Ferrellgas
LP
5.88%,
4/1/29(a)(d)
3,017,000
2,760,278
Health
Care
Equipment
&
Supplies
(0.2%)
Medline
Borrower
LP
3.88%,
4/1/29(a)
1,793,000
1,661,944
Health
Care
Providers
&
Services
(0.7%)
Centene
Corp.
2.50%,
3/1/31
3,388,000
2,804,507
3.38%,
2/15/30
2,226,000
1,984,044
LifePoint
Health,
Inc.
9.88%,
8/15/30(a)
2,952,000
3,188,771
7,977,322
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(29.3%)
(cont’d)
Health
Care
REITs
(0.3%)
Ventas
Realty
LP
5.63%,
7/1/34
$
3,476,000
$
3,501,726
Hotels,
Restaurants
&
Leisure
(0.3%)
Las
Vegas
Sands
Corp.
3.90%,
8/8/29(d)
798,000
742,370
6.00%,
8/15/29
1,856,000
1,881,910
6.20%,
8/15/34
784,000
788,830
3,413,110
Insurance
(1.4%)
Alliant
Holdings
Intermediate
LLC
7.00%,
1/15/31(a)(d)
1,667,000
1,675,336
American
National
Group,
Inc.
5.75%,
10/1/29
2,505,000
2,509,795
Global
Atlantic
Fin
Co.
3.13%,
6/15/31(a)
115,000
98,763
4.70%,
10/15/51(a)(b)
2,135,000
2,063,371
6.75%,
3/15/54(a)
3,242,000
3,294,519
7.95%,
10/15/54(a)(b)
1,507,000
1,580,094
Liberty
Mutual
Group,
Inc.
4.13%,
12/15/51(a)(b)
4,168,000
3,968,840
15,190,718
IT
Services
(0.6%)
Arches
Buyer,
Inc.
4.25%,
6/1/28(a)(d)
2,564,000
2,357,663
Kyndryl
Holdings,
Inc.
3.15%,
10/15/31
1,099,000
953,296
6.35%,
2/20/34(d)
3,085,000
3,211,185
6,522,144
Machinery
(0.2%)
Calderys
Financing
LLC
11.25%,
6/1/28(a)
1,986,000
2,128,281
Media
(1.0%)
Charter
Communications
Operating
LLC
4.80%,
3/1/50(d)
7,746,000
5,826,655
Clear
Channel
Outdoor
Holdings,
Inc.
7.88%,
4/1/30(a)
1,899,000
1,956,707
McGraw-Hill
Education,
Inc.
5.75%,
8/1/28(a)
2,725,000
2,663,642
Virgin
Media
Vendor
Financing
Notes
IV
DAC
5.00%,
7/15/28(a)(d)
1,250,000
1,185,067
11,632,071
Metals
&
Mining
(0.3%)
Compass
Minerals
International,
Inc.
6.75%,
12/1/27(a)
1,380,000
1,360,788
Nexa
Resources
SA
6.75%,
4/9/34(a)(d)
1,886,000
1,922,529
3,283,317
Office
REITs
(0.1%)
COPT
Defense
Properties
LP
2.90%,
12/1/33
1,330,000
1,069,121
Face
Amount
Value
Oil,
Gas
&
Consumable
Fuels
(0.8%)
Global
Partners
LP
7.00%,
8/1/27(d)
$
847,000
$
854,424
Petrobras
Global
Finance
BV
6.50%,
7/3/33
1,612,000
1,579,188
Raizen
Fuels
Finance
SA
5.70%,
1/17/35(a)
1,650,000
1,528,725
6.45%,
3/5/34(a)(d)
1,172,000
1,159,447
6.95%,
3/5/54(a)(d)
936,000
923,947
TerraForm
Power
Operating
LLC
4.75%,
1/15/30(a)
2,743,000
2,537,887
5.00%,
1/31/28(a)
698,000
673,045
9,256,663
Passenger
Airlines
(0.8%)
A/S
Mileage
Plan
IP
Ltd.
5.02%,
10/20/29(a)(d)
2,454,000
2,392,856
5.31%,
10/20/31(a)(d)
985,000
962,325
American
Airlines,
Inc.
5.50%,
4/20/26(a)
2,204,000
2,198,617
Delta
Air
Lines,
Inc.
4.75%,
10/20/28(a)
3,680,000
3,631,895
9,185,693
Professional
Services
(0.3%)
Concentrix
Corp.
6.60%,
8/2/28(d)
3,287,000
3,369,455
Semiconductors
&
Semiconductor
Equipment
(0.4%)
Intel
Corp.
4.75%,
3/25/50(d)
2,442,000
1,889,929
4.90%,
8/5/52
2,975,000
2,350,747
4,240,676
Software
(0.5%)
Cloud
Software
Group,
Inc.
6.50%,
3/31/29(a)
3,213,000
3,157,698
McAfee
Corp.
7.38%,
2/15/30(a)
1,930,000
1,876,908
5,034,606
Specialized
REITs
(0.6%)
EPR
Properties
3.60%,
11/15/31
2,994,000
2,620,985
3.75%,
8/15/29(d)
3,293,000
3,055,062
4.95%,
4/15/28
1,040,000
1,023,346
6,699,393
Specialty
Retail
(0.5%)
Lithia
Motors,
Inc.
4.38%,
1/15/31(a)
2,349,000
2,138,417
PetSmart,
Inc.
4.75%,
2/15/28(a)(d)
1,910,000
1,804,292
Sonic
Automotive,
Inc.
4.63%,
11/15/29(a)
1,407,000
1,300,292
5,243,001
Technology
Hardware,
Storage
&
Peripherals
(0.2%)
Seagate
HDD
Cayman
9.63%,
12/1/32
2,222,500
2,507,656
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(29.3%)
(cont’d)
Trading
Companies
&
Distributors
(0.0%)(f)
Air
Lease
Corp.
3.38%,
7/1/25(d)
$
267,000
$
264,979
Transportation
Infrastructure
(0.2%)
Seaspan
Corp.
5.50%,
8/1/29(a)
2,104,000
1,966,961
Wireless
Telecommunication
Services
(0.3%)
Zegona
Finance
plc
8.63%,
7/15/29(a)(d)
3,300,000
3,510,429
325,910,229
Sovereign
(
0
.4
%
)
Dominican
Republic
Government
Bond
5.88%,
1/30/60(a)
850,000
721,013
Petroleos
Mexicanos
6.84%,
1/23/30
4,163,000
3,806,014
4,527,027
Supranational
(
0
.1
%
)
Banque
Ouest
Africaine
de
Developpement
4.70%,
10/22/31(a)
1,240,000
1,121,084
U.S.
Government
and
Agency
Securities
(
29
.4
%
)
U.S.
Treasury
Bonds
3.38%,
5/15/44
52,682,000
42,713,493
4.63%,
5/15/54
14,796,800
14,381,161
U.S.
Treasury
Notes
3.88%,
9/30/29
146,661,000
143,505,443
4.00%,
2/29/28
6,180,000
6,124,892
4.38%,
5/15/34
54,227,000
53,410,420
4.88%,
11/30/25(d)
9,250,000
9,300,996
4.88%,
5/31/26
56,799,000
57,278,144
326,714,549
Total
Fixed
Income
Securities
(Cost
$1,209,652,441)
1,190,431,237
Shares
Investment
Companies
(
2
.0
%
)
Eaton
Vance
Floating-Rate
ETF(d)(g)
298,800
15,049,062
Eaton
Vance
High
Yield
ETF(g)
9,300
486,297
Eaton
Vance
Short
Duration
Income
ETF(g)
120,000
6,056,400
Eaton
Vance
Ultra-Short
Income
ETF(d)(g)
27,000
1,368,630
Total
Investment
Companies
(Cost
$23,036,243)
22,960,389
Short-Term
Investments
(
18
.2
%
)
Investment
Company
(
9
.3
%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(h)
(Cost
$103,246,433)
103,246,433
103,246,433
Shares
Value
Security
held
as
Collateral
on
Loaned
Securities
(
2
.8
%
)
Investment
Company
(2.8%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(h)
(Cost
$30,841,990)
30,841,990
$
30,841,990
Face
Amount
U.S.
Government
and
Agency
Securities
(
6
.1
%
)
U.S.
Treasury
Bills
3.33%,
1/16/25
$
8,315,000
8,301,320
4.42%,
2/6/25
59,655,000
59,410,673
Total
U.S.
Government
and
Agency
Securities
(Cost
$67,685,434)
67,711,993
Total
Short-Term
Investments
(Cost
$201,773,857)
201,800,416
Total
Investments
(127.4%)
(Cost
$1,434,462,541)
(i)
1,415,192,042
Liabilities
in
Excess
of
Other
Assets
(-27.4%)
(303,999,311)
Net
Assets
(100.0%)
$1,111,192,731
(a)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(b)
Floating
or
variable
rate
securities:
The
rates
disclosed
are
as
of
December
31,
2024.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
are
indicated
in
the
description
in
the
Portfolio
of
Investments.
Certain
variable
rate
securities
may
not
be
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description
in
the
Portfolio
of
Investments.
(c)
Multi-step
Coupon
rate
changes
in
predetermined
increments
to
maturity.
Rate
disclosed
is
as
of
December
31,
2024.
Maturity
date
disclosed
is
the
ultimate
maturity
date.
(d)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$46,196,332
and
$47,912,649,
respectively.
The
Fund
received
cash
collateral
of
$30,841,990,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$17,070,659
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(e)
Perpetual
One
or
more
securities
do
not
have
a
predetermined
maturity
date.
Rates
for
these
securities
are
fixed
for
a
period
of
time,
after
which
they
revert
to
a
floating
rate.
Interest
rates
in
effect
are
as
of
December
31,
2024.
(f)
Amount
is
less
than
0.05%.
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
(g)
For
the
period
ended
December
31,
2024,
the
cost
of
purchases
of
Eaton
Vance
Floating-Rate
ETF,
Eaton
Vance
High
Yield
ETF,
Eaton
Vance
Short
Duration
Income
ETF
and
Eaton
Vance
Ultra-Short
Income
ETF,
which
may
be
deemed
affiliates
of
the
Adviser
under
the
Investment
Company
Act
of
1940,
were
$8,441,011,
$498,666,
$6,070,000
and
$203,160,
respectively.
For
the
period
ended
December
31,
2024,
management
fees
related
Fund's
investments
in
Eaton
Vance
Floating-Rate
ETF,
Eaton
Vance
High
Yield
ETF,
Eaton
Vance
Short
Duration
Income
ETF
and
Eaton
Vance
Ultra-Short
Income
ETF
were
reduced
by
$16,089,
$136,
$764
and
$562,
respectively.
(h)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$28,693
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(i)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$1,434,462,541.
The
aggregate
gross
unrealized
appreciation
is
$2,804,531
and
the
aggregate
gross
unrealized
depreciation
is
$22,075,030,
resulting
in
net
unrealized
depreciation
of
$19,270,499.
ARM
Adjustable
Rate
Mortgage
CME
Chicago
Mercantile
Exchange
CLO
Collateralized
Loan
Obligation
FHLMC
Federal
Home
Loan
Mortgage
Corp.
FNMA
Federal
National
Mortgage
Association
GNMA
Government
National
Mortgage
Association
IO
Interest
Only
REIT
Real
Estate
Investment
Trust
REMIC
Real
Estate
Mortgage
Investment
Conduit
SDR
Swedish
Depositary
Receipt
SOFR
Secured
Overnight
Financing
Rate
SOFR30A
Secured
Overnight
Financing
Rate
30
Day
Average
STRIPS
Separate
Trading
of
Registered
Interest
and
Principal
Securities.
The
STRIPS
Program
lets
investors
hold
and
trade
individual
interest
and
principal
components
of
eligible
notes
and
bonds
as
separate
securities.
TBA
To
Be
Announced;
Security
is
subject
to
delayed
delivery
Morgan
Stanley
ETF
Trust
Eaton
Vance
Total
Return
Bond
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Futures
Contracts:
The
Fund
had
the
following
futures
contracts
open
at
December
31,
2024:
Number
of
Contracts
Expiration
Date
Notional
Amount
Value
Unrealized
Appreciation/
(Depreciation)
Long:
U.S.
Treasury
2
Year
Notes
840
Mar-25
$
168,000,000
$
172,711,876
$
(
11,331
)
U.S.
Treasury
5
Year
Notes
1,163
Mar-25
116,300,000
123,632,351
(
450,021
)
U.S.
Treasury
10
Year
Notes
120
Mar-25
12,000,000
13,050,000
(
133,816
)
U.S.
Treasury
Long
Bonds
86
Mar-25
8,600,000
9,790,563
(
250,865
)
U.S.
Treasury
Ultra
Bonds
212
Mar-25
21,200,000
25,208,125
(
301,345
)
Short:
U.S.
Treasury
10
Year
Ultra
Bonds
213
Mar-25
(
21,300,000
)
(
23,709,563
)
398,521
$
(
748,857
)
Portfolio
Composition*
Classification  
Percentage
of
Total
Investments
U.S.
Government
and
Agency
Securities
23‌
.6
%
Collateralized
Mortgage
Obligations
Agency
Collateral
Series
21‌
.8
Other**
18‌
.8
Short-Term
Investments
12‌
.3
Commercial
Mortgage-Backed
Securities
8‌
.6
Asset-Backed
Securities
8‌
.1
Banks
6‌
.8
Total
Investments
100‌
.0
%
***
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
***
Does
not
include
open
futures
contracts
with
a
value
of
$
368,102,478
and
net
unrealized
depreciation
of
$
748,857
.
Morgan
Stanley
ETF
Trust
Eaton
Vance
Ultra-Short
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Face
Amount
Value
Fixed
Income
Securities
(94.0%)
Asset-Backed
Securities
(
9
.4
%
)
ACHV
ABS
Trust,
2024-3AL
5.45%,
12/26/31(a)
$
166,000
$
166,332
ACHV
ABS
TRUST,
2023-4CP
7.24%,
11/25/30(a)
342,867
344,034
ACM
Auto
Trust,
2023-2A
7.97%,
6/20/30(a)
64,097
64,364
2024-2A
6.06%,
2/20/29(a)
365,472
366,838
Ally
Bank
Auto
Credit-Linked
Notes,
2024-A
5.83%,
5/17/32(a)
313,039
316,826
2024-B
5.12%,
9/15/32(a)
233,204
233,513
Alterna
Funding
III
LLC,
2024-1A
6.26%,
5/16/39(a)
179,463
181,216
Amur
Equipment
Finance
Receivables
XII
LLC,
2023-1A
6.09%,
12/20/29(a)
63,303
64,173
Auxilior
Term
Funding
LLC,
2024-1A
5.84%,
3/15/27(a)
830,000
836,455
Bank
of
America
Auto
Trust,
2023-2A
5.85%,
8/17/26(a)
91,046
91,324
BHG
Securitization
Trust,
2022-C
5.93%,
10/17/35(a)
210,000
210,833
Blue
Owl
Asset
Leasing
Trust
LLC,
2024-1A
5.05%,
3/15/29(a)
101,000
101,259
Chesapeake
Funding
II
LLC,
2023-2A
6.16%,
10/15/35(a)
271,951
276,018
2024-1A
SOFR30A
+
0.77%,
5.37%,
5/15/36(a)(b)
134,807
135,135
Clarus
Capital
Funding
LLC,
2024-1A
4.71%,
8/20/32(a)
135,000
134,583
DB
Master
Finance
LLC,
2019-1A
4.02%,
5/20/49(a)
71,063
70,093
2021-1A
2.05%,
11/20/51(a)
232,800
220,565
DLLMT
LLC,
2024-1A
5.08%,
2/22/27(a)
131,000
131,548
DLLST
LLC,
2024-1A
5.33%,
1/20/26(a)
47,221
47,323
Domino's
Pizza
Master
Issuer
LLC,
2015-1A
4.47%,
10/25/45(a)
324,625
323,745
Face
Amount
Value
2018-1A
4.12%,
7/25/48(a)
$
165,813
$
164,888
Driven
Brands
Funding
LLC,
2019-1A
4.64%,
4/20/49(a)
252,013
249,950
Enterprise
Fleet
Financing
LLC,
2023-1
5.51%,
1/22/29(a)
128,476
129,152
2024-2
5.74%,
12/20/26(a)
145,000
146,260
FHF
Issuer
Trust,
2023-2A
6.79%,
10/15/29(a)
127,944
130,356
Ford
Credit
Auto
Owner
Trust,
2023-B
5.57%,
6/15/26
64,705
64,813
GLS
Auto
Select
Receivables
Trust,
2024-1A
5.24%,
3/15/30(a)
56,173
56,476
GM
Financial
Consumer
Automobile
Receivables
Trust,
2023-2
5.10%,
5/18/26
17,976
17,980
2024-1
5.12%,
2/16/27
17,641
17,679
HPEFS
Equipment
Trust,
2024-1A
5.38%,
5/20/31(a)
162,956
163,243
J.P.
Morgan
Mortgage
Trust,
2023-HE3
SOFR30A
+
1.60%,
6.20%,
5/25/54(a)(b)
49,459
49,912
2024-HE2
SOFR30A
+
1.20%,
5.80%,
10/20/54(a)(b)
155,431
156,414
LAD
Auto
Receivables
Trust,
2023-1A
5.68%,
10/15/26(a)
17,828
17,836
2023-2A
5.93%,
6/15/27(a)
32,890
32,975
2023-4A
6.21%,
10/15/26(a)
16,922
16,942
Lendbuzz
Securitization
Trust,
2023-2A
7.09%,
10/16/28(a)
238,899
243,436
2024-1A
6.19%,
8/15/29(a)
271,427
274,451
2024-3A
4.97%,
10/15/29(a)
100,000
100,022
LL
ABS
Trust,
2022-1A
5.05%,
11/15/29(a)
23,220
23,216
Mercury
Financial
Credit
Card
Master
Trust,
2024-2A
6.56%,
7/20/29(a)
147,000
148,841
Octane
Receivables
Trust,
2022-1A
4.18%,
3/20/28(a)
90,895
90,786
2024-2A
5.80%,
7/20/32(a)
288,247
291,509
Morgan
Stanley
ETF
Trust
Eaton
Vance
Ultra-Short
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Asset-Backed
Securities
(9.4%)
(cont’d)
2024-3A
4.94%,
5/20/30(a)
$
175,000
$
175,359
2024-RVM1
5.01%,
1/22/46(a)
150,000
149,950
Oportun
Funding
Trust,
2024-3
5.26%,
8/15/29(a)
383,628
384,049
Oportun
Issuance
Trust,
2024-1A
6.33%,
4/8/31(a)
116,008
116,251
2024-1A
6.55%,
4/8/31(a)
169,000
169,908
Oscar
US
Funding
XIV
LLC,
2022-1A
2.30%,
4/10/26(a)
45,081
44,963
Oscar
US
Funding
XVI
LLC,
2024-1A
5.48%,
2/10/27(a)
204,546
205,240
Oscar
US
Funding
XVII
LLC,
2024-2A
4.63%,
12/10/27(a)
222,000
221,728
Pagaya
Ai
Debt
Grantor
Trust,
2024-9
5.07%,
3/15/32(a)
210,048
210,221
PEAC
Solutions
Receivables
LLC,
2024-1A
5.79%,
6/21/27(a)
300,000
302,858
Prodigy
Finance
DAC,
2021-1A
CME
Term
SOFR
1
Month
+
1.36%,
5.70%,
7/25/51(a)(b)
436,638
436,535
Prosper
Marketplace
Issuance
Trust,
2023-1A
7.06%,
7/16/29(a)
44,974
45,079
2023-1A
7.48%,
7/16/29(a)
200,000
201,804
2024-1A
6.12%,
8/15/29(a)
63,422
63,616
Reach
ABS
Trust,
2024-2A
5.88%,
7/15/31(a)
161,893
162,732
SFS
Auto
Receivables
Securitization
Trust,
2024-1A
5.35%,
6/21/27(a)
27,426
27,487
Taco
Bell
Funding
LLC,
2016-1A
4.97%,
5/25/46(a)
150,000
149,824
Theorem
Funding
Trust,
2022-2A
9.27%,
12/15/28(a)
90,000
92,657
2022-3A
7.60%,
4/15/29(a)
262,917
265,086
2022-3A
8.95%,
4/15/29(a)
246,000
253,468
2023-1A
7.58%,
4/15/29(a)
77,069
77,771
Face
Amount
Value
Vantage
Data
Centers
Issuer
LLC,
2020-1A
1.65%,
9/15/45(a)
$
225,000
$
219,759
Wingspire
Equipment
Finance
LLC,
2024-1A
4.99%,
9/20/32(a)
100,000
100,229
10,979,888
Commercial
Mortgage-Backed
Securities
(
3
.8
%
)
BPR
Trust
CME
Term
SOFR
1
Month
+
1.90%,
6.30%,
4/15/37(a)(b)
370,000
372,387
CME
Term
SOFR
1
Month
+
3.00%,
7.40%,
5/15/39(a)(b)
200,000
201,050
BX
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
0.81%,
5.21%,
9/15/36(a)(b)
200,000
200,037
CAMB
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.37%,
5.77%,
12/15/37(a)(b)
265,000
265,310
CME
Term
SOFR
1
Month
+
1.55%,
5.95%,
12/15/37(a)(b)
300,000
300,351
Connecticut
Avenue
Securities
Trust
SOFR30A
+
1.00%,
5.57%,
12/25/41(a)(b)
253,504
254,190
Extended
Stay
America
Trust
CME
Term
SOFR
1
Month
+
1.19%,
5.59%,
7/15/38(a)(b)
286,257
286,968
CME
Term
SOFR
1
Month
+
1.49%,
5.89%,
7/15/38(a)(b)
165,589
165,999
CME
Term
SOFR
1
Month
+
1.81%,
6.21%,
7/15/38(a)(b)
88,079
88,408
FHLMC
STACR
REMIC
Trust
SOFR30A
+
1.25%,
5.82%,
3/25/44(a)(b)
188,302
189,502
SOFR30A
+
1.35%,
5.92%,
2/25/44(a)(b)
379,661
381,490
FHLMC,
REMIC
SOFR30A
+
1.10%,
5.67%,
5/25/54(b)
199,981
200,088
SOFR30A
+
1.25%,
5.82%,
3/25/54(b)
94,421
94,692
SOFR30A
+
1.43%,
6.00%,
12/25/54(b)
460,846
461,539
HLTN
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
1.64%,
6.04%,
6/15/41(a)(b)
140,000
140,787
Marlette
Funding
Trust
6.50%,
4/15/33(a)
324,876
327,122
MHC
Commercial
Mortgage
Trust
CME
Term
SOFR
1
Month
+
0.92%,
5.31%,
4/15/38(a)(b)
68,560
68,625
ORL
Trust
CME
Term
SOFR
1
Month
+
1.49%,
5.99%,
12/15/39(a)(b)
175,000
175,656
Reach
Abs
Trust
6.30%,
2/18/31(a)
145,255
146,527
Morgan
Stanley
ETF
Trust
Eaton
Vance
Ultra-Short
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Commercial
Mortgage-Backed
Securities
(3.8%)
(cont’d)
TX
Trust
CME
Term
SOFR
1
Month
+
1.59%,
5.99%,
6/15/39(a)(b)
$
140,000
$
140,176
4,460,904
Corporate
Bonds
(
64
.0
%
)
Aerospace
&
Defense
(1.0%)
Boeing
Co.
(The)
7.25%,
6/15/25
1,160,000
1,170,231
Automobiles
(1.9%)
Hyundai
Capital
America
2.65%,
2/10/25(a)
235,000
234,419
5.45%,
6/24/26(a)
250,000
251,839
5.80%,
6/26/25(a)
235,000
235,892
6.25%,
11/3/25(a)
670,000
676,774
Volkswagen
Group
of
America
Finance
LLC
4.90%,
8/14/26(a)
575,000
573,138
5.30%,
3/20/26(a)(b)
250,000
249,946
2,222,008
Banks
(24.9%)
Australia
&
New
Zealand
Banking
Group
Ltd.
5.03%,
3/18/26(a)(b)
310,000
310,791
Banco
Santander
SA
2.75%,
5/28/25
400,000
396,246
5.15%,
8/18/25
200,000
200,241
Bank
of
America
Corp.
3.38%,
4/2/26(b)
923,000
919,525
4.83%,
7/22/26(b)
2,490,000
2,490,482
Bank
of
Ireland
Group
plc
6.25%,
9/16/26(a)(b)
1,680,000
1,694,286
Barclays
plc
5.20%,
5/12/26
600,000
601,180
7.33%,
11/2/26(b)
1,725,000
1,756,687
BNP
Paribas
SA
3.38%,
1/9/25(a)
904,000
903,780
BPCE
SA
1.00%,
1/20/26(a)
500,000
480,895
5.15%,
1/14/25(a)(b)
250,000
250,033
5.98%,
1/18/27(a)(b)
250,000
251,980
Capital
One
NA
2.28%,
1/28/26(b)
405,000
404,104
Citigroup,
Inc.
5.61%,
9/29/26(b)
2,620,000
2,634,918
Credit
Agricole
SA
4.38%,
3/17/25(a)
800,000
798,382
Danske
Bank
A/S
6.47%,
1/9/26(a)(b)(c)
690,000
690,151
Fifth
Third
Bank,
Inc.
3.95%,
7/28/25
500,000
497,800
HSBC
Holdings
plc
4.29%,
9/12/26(b)
1,060,000
1,055,599
ING
Groep
NV
1.40%,
7/1/26(a)(b)
350,000
343,892
Intesa
Sanpaolo
SpA
7.00%,
11/21/25(a)
653,000
664,300
JPMorgan
Chase
&
Co.
2.08%,
4/22/26(b)
2,595,000
2,573,059
Face
Amount
Value
KeyBank
NA
4.15%,
8/8/25(c)
$
328,000
$
326,408
KeyCorp
5.73%,
5/23/25(b)
415,000
415,380
Lloyds
Banking
Group
plc
4.45%,
5/8/25(c)
500,000
499,182
National
Bank
of
Canada
5.54%,
7/2/27(b)
250,000
250,962
5.60%,
7/2/27(b)
250,000
252,840
Royal
Bank
of
Canada
4.95%,
4/25/25(c)
150,000
150,208
Santander
Holdings
USA,
Inc.
5.81%,
9/9/26(b)
200,000
201,130
Santander
UK
Group
Holdings
plc
6.83%,
11/21/26(b)
860,000
872,560
Societe
Generale
SA
5.25%,
2/19/27(a)
950,000
950,745
5.52%,
1/19/28(a)(b)
200,000
200,750
Standard
Chartered
plc
2.82%,
1/30/26(a)(b)
525,000
523,966
Swedbank
AB
6.14%,
9/12/26(a)
600,000
613,122
Synovus
Financial
Corp.
5.20%,
8/11/25
1,727,500
1,726,828
Truist
Financial
Corp.
4.26%,
7/28/26(b)
489,000
487,212
Wells
Fargo
&
Co.
3.91%,
4/25/26(b)
1,600,000
1,595,349
28,984,973
Capital
Markets
(4.6%)
Affiliated
Managers
Group,
Inc.
3.50%,
8/1/25
500,000
496,518
Blackstone
Private
Credit
Fund
2.70%,
1/15/25
500,000
499,491
Charles
Schwab
Corp.
(The)
3.63%,
4/1/25
175,000
174,507
Goldman
Sachs
Bank
USA
5.41%,
5/21/27(b)
87,000
87,696
Goldman
Sachs
Group,
Inc.
(The)
3.50%,
1/23/25
360,000
359,803
5.80%,
8/10/26(b)
1,890,000
1,901,064
HAT
Holdings
I
LLC
3.38%,
6/15/26(a)
515,000
499,383
8.00%,
6/15/27(a)
195,000
203,418
UBS
AG
1.38%,
1/13/25(a)
462,000
461,557
3.70%,
2/21/25
312,000
311,396
7.95%,
1/9/25(c)
386,000
386,187
5,381,020
Chemicals
(0.7%)
Celanese
US
Holdings
LLC
6.05%,
3/15/25(d)
808,000
808,649
Consumer
Finance
(5.8%)
Ally
Financial,
Inc.
4.63%,
3/30/25
488,000
487,138
5.80%,
5/1/25
644,000
644,834
Morgan
Stanley
ETF
Trust
Eaton
Vance
Ultra-Short
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(64.0%)
(cont’d)
Avolon
Holdings
Funding
Ltd.
2.88%,
2/15/25(a)
$
443,000
$
441,573
5.50%,
1/15/26(a)
500,000
501,653
Capital
One
Financial
Corp.
4.25%,
4/30/25
500,000
498,977
4.99%,
7/24/26(b)
355,000
354,824
Discover
Financial
Services
3.75%,
3/4/25
500,000
498,971
Ford
Motor
Credit
Co.
LLC
5.13%,
6/16/25
2,309,000
2,308,205
General
Motors
Financial
Co.,
Inc.
4.35%,
4/9/25
500,000
499,108
5.81%,
4/7/25(b)(c)
350,000
350,863
Harley-Davidson
Financial
Services,
Inc.
3.35%,
6/8/25(a)
200,000
198,505
6,784,651
Containers
&
Packaging
(0.6%)
Canpack
SA
3.13%,
11/1/25(a)
250,000
244,304
Sonoco
Products
Co.
1.80%,
2/1/25
298,000
297,119
4.45%,
9/1/26
100,000
99,361
640,784
Diversified
REITs
(1.2%)
GLP
Capital
LP
5.25%,
6/1/25
445,000
445,176
VICI
Properties
LP
4.38%,
5/15/25
500,000
499,022
4.63%,
6/15/25(a)
475,000
473,819
1,418,017
Electric
Utilities
(3.0%)
NextEra
Energy
Capital
Holdings,
Inc.
5.75%,
9/1/25(c)
1,430,000
1,439,227
6.05%,
3/1/25
525,000
525,975
Pacific
Gas
and
Electric
Co.
3.45%,
7/1/25
575,000
570,619
Vistra
Operations
Co.
LLC
5.05%,
12/30/26(a)
485,097
485,929
Xcel
Energy,
Inc.
3.30%,
6/1/25
500,000
496,423
3,518,173
Entertainment
(1.0%)
Warnermedia
Holdings,
Inc.
3.64%,
3/15/25
250,000
249,220
3.79%,
3/15/25
500,000
498,537
6.41%,
3/15/26(c)
425,000
425,173
1,172,930
Financial
Services
(2.4%)
Corebridge
Financial,
Inc.
3.50%,
4/4/25
500,000
498,266
Global
Payments,
Inc.
2.65%,
2/15/25
500,000
498,462
Rocket
Mortgage
LLC
2.88%,
10/15/26(a)(c)
403,420
383,053
Face
Amount
Value
Synchrony
Bank
5.40%,
8/22/25
$
853,000
$
854,293
Western
Union
Co.
(The)
2.85%,
1/10/25
500,000
499,756
2,733,830
Ground
Transportation
(0.4%)
Penske
Truck
Leasing
Co.
LP
4.45%,
1/29/26(a)
500,000
497,526
Health
Care
Providers
&
Services
(1.7%)
Centene
Corp.
4.25%,
12/15/27
505,000
489,572
CVS
Health
Corp.
3.88%,
7/20/25
800,000
795,105
4.10%,
3/25/25(c)
175,000
174,597
HCA,
Inc.
5.38%,
2/1/25
575,000
575,133
2,034,407
Health
Care
REITs
(0.4%)
Alexandria
Real
Estate
Equities,
Inc.
3.45%,
4/30/25
500,000
497,617
Hotels,
Restaurants
&
Leisure
(0.2%)
Las
Vegas
Sands
Corp.
2.90%,
6/25/25(c)
232,750
230,363
Household
Durables
(0.2%)
Lennar
Corp.
4.75%,
5/30/25(c)
210,000
209,798
Independent
Power
and
Renewable
Electricity
Producers
(0.7%)
AES
Corp.
(The)
1.38%,
1/15/26
500,000
481,825
3.30%,
7/15/25(a)
296,000
293,694
775,519
Insurance
(1.8%)
Athene
Global
Funding
4.86%,
8/27/26(a)
261,000
260,865
5.34%,
5/8/26(a)(b)
466,000
466,092
Corebridge
Global
Funding
5.35%,
6/24/26(a)
305,000
307,825
GA
Global
Funding
Trust
1.63%,
1/15/26(a)
248,000
239,616
5.87%,
4/11/25(a)(b)
450,000
451,137
Protective
Life
Global
Funding
5.21%,
4/10/26(a)(b)
380,000
381,020
2,106,555
Machinery
(0.6%)
Daimler
Truck
Finance
North
America
LLC
5.20%,
1/17/25(a)
239,000
239,025
Westinghouse
Air
Brake
Technologies
Corp.
3.20%,
6/15/25(c)
500,000
496,088
735,113
Media
(0.9%)
Charter
Communications
Operating
LLC
4.91%,
7/23/25
531,000
530,554
Morgan
Stanley
ETF
Trust
Eaton
Vance
Ultra-Short
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Corporate
Bonds
(64.0%)
(cont’d)
Fox
Corp.
3.05%,
4/7/25
$
500,000
$
497,666
1,028,220
Multi-Utilities
(1.1%)
Algonquin
Power
&
Utilities
Corp.
5.37%,
6/15/26(d)
1,094,000
1,100,154
Dominion
Energy,
Inc.
3.30%,
3/15/25
179,000
178,364
1,278,518
Oil,
Gas
&
Consumable
Fuels
(1.3%)
Enbridge,
Inc.
2.50%,
2/14/25
500,000
498,551
Occidental
Petroleum
Corp.
5.50%,
12/1/25(c)
1,050,000
1,053,652
1,552,203
Passenger
Airlines
(1.6%)
American
Airlines,
Inc.
5.50%,
4/20/26(a)
377,567
376,645
Delta
Air
Lines,
Inc.
4.75%,
10/20/28(a)
170,428
168,200
Delta
Air
Lines,
Inc./SkyMiles
IP
Ltd.
4.50%,
10/20/25(a)
482,500
479,626
Mileage
Plus
Holdings
LLC
6.50%,
6/20/27(a)
817,500
823,241
1,847,712
Pharmaceuticals
(0.1%)
Royalty
Pharma
plc
1.20%,
9/2/25
110,000
107,311
Professional
Services
(0.9%)
Concentrix
Corp.
6.65%,
8/2/26
1,027,000
1,045,342
Retail
REITs
(0.2%)
Kite
Realty
Group
Trust
4.00%,
3/15/25
240,000
239,332
Semiconductors
&
Semiconductor
Equipment
(0.4%)
NXP
BV
2.70%,
5/1/25
500,000
496,628
Software
(0.5%)
Oracle
Corp.
2.95%,
5/15/25
550,000
546,248
Specialized
REITs
(1.4%)
American
Tower
Corp.
2.95%,
1/15/25
1,118,000
1,117,301
EPR
Properties
4.50%,
4/1/25
495,000
493,834
1,611,135
Technology
Hardware,
Storage
&
Peripherals
(0.5%)
HP,
Inc.
2.20%,
6/17/25
600,000
592,676
Face
Amount
Value
Tobacco
(0.3%)
Altria
Group,
Inc.
2.35%,
5/6/25
$
350,000
$
347,058
Trading
Companies
&
Distributors
(1.0%)
Air
Lease
Corp.
3.25%,
3/1/25
135,000
134,625
3.38%,
7/1/25
500,000
496,215
Aircastle
Ltd.
5.25%,
8/11/25(a)
529,000
529,318
1,160,158
Wireless
Telecommunication
Services
(0.7%)
Rogers
Communications,
Inc.
2.95%,
3/15/25
360,000
358,066
T-Mobile
USA,
Inc.
3.50%,
4/15/25
513,000
510,757
868,823
74,643,528
U.S.
Government
and
Agency
Securities
(
16
.8
%
)
U.S.
Treasury
Notes
0.38%,
1/31/26
6,200,000
5,949,815
2.63%,
12/31/25(c)
5,970,000
5,879,501
2.63%,
1/31/26
6,000,000
5,899,216
4.25%,
1/31/26
1,837,000
1,837,322
19,565,854
Total
Fixed
Income
Securities
(Cost
$109,449,208)
109,650,174
Shares
Short-Term
Investments
(
13
.8
%
)
Investment
Company
(
5
.0
%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(e)
(Cost
$5,888,430)
5,888,430
5,888,430
Security
held
as
Collateral
on
Loaned
Securities
(
6
.5
%
)
Investment
Company
(6.5%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%(e)
(Cost
$7,520,915)
7,520,915
7,520,915
Face
Amount
Commercial
Paper
(
2
.3
%
)
Brookfield
Renewable
Partners
LP
5.09%,
2/5/25
$
500,000
497,710
Cencora,
Inc.
4.77%,
1/23/25(a)
1,160,000
1,156,600
General
Motors
Financial
Co.,
Inc.
5.62%,
2/4/25
250,000
248,876
Harley-Davidson
Financial
Services,
Inc.
5.05%,
1/23/25
250,000
249,250
Morgan
Stanley
ETF
Trust
Eaton
Vance
Ultra-Short
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Face
Amount
Value
Commercial
Paper
(2.3%)
(cont’d)
JBS
USA
Holding
Lux
SARL
5.22%,
1/8/25
$
500,000
$
499,458
Total
Commercial
Paper
(Cost
$2,651,272)
2,651,894
Total
Short-Term
Investments
(Cost
$16,060,617)
16,061,239
Total
Investments
(107.8%)
(Cost
$125,509,825)
(f)
125,711,413
Liabilities
in
Excess
of
Other
Assets
(-7.8%)
(9,149,442)
Net
Assets
(100.0%)
$116,561,971
(a)
144A
security
Certain
conditions
for
public
sale
may
exist.
Unless
otherwise
noted,
these
securities
are
deemed
to
be
liquid.
(b)
Floating
or
variable
rate
securities:
The
rates
disclosed
are
as
of
December
31,
2024.
For
securities
based
on
a
published
reference
rate
and
spread,
the
reference
rate
and
spread
are
indicated
in
the
description
in
the
Portfolio
of
Investments.
Certain
variable
rate
securities
may
not
be
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.
These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description
in
the
Portfolio
of
Investments.
(c)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$7,341,996
and
$7,520,915,
respectively.
The
Fund
received
cash
collateral
of
$7,520,915,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(d)
Multi-step
Coupon
rate
changes
in
predetermined
increments
to
maturity.
Rate
disclosed
is
as
of
December
31,
2024.
Maturity
date
disclosed
is
the
ultimate
maturity
date.
(e)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$423
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(f)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$125,509,825.
The
aggregate
gross
unrealized
appreciation
is
$208,726
and
the
aggregate
gross
unrealized
depreciation
is
$7,138,
resulting
in
net
unrealized
appreciation
of
$201,588.
CME
Chicago
Mercantile
Exchange
FHLMC
Federal
Home
Loan
Mortgage
Corp.
REIT
Real
Estate
Investment
Trust
REMIC
Real
Estate
Mortgage
Investment
Conduit
SOFR
Secured
Overnight
Financing
Rate
SOFR30A
Secured
Overnight
Financing
Rate
30
Day
Average
Morgan
Stanley
ETF
Trust
Eaton
Vance
Ultra-Short
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Futures
Contracts:
The
Fund
had
the
following
futures
contracts
open
at
December
31,
2024:
Number
of
Contracts
Expiration
Date
Notional
Amount
Value
Unrealized
Appreciation
Short:
U.S.
Treasury
2
Year
Notes
1
Mar-25
$
(
200,000
)
$
(
205,609
)
$
45
Portfolio
Composition*
Classification  
Percentage
of
Total
Investments
Other**
36‌
.7
%
Banks
24‌
.5
U.S.
Government
and
Agency
Securities
16‌
.6
Asset-Backed
Securities
9‌
.3
Short-Term
Investments
7‌
.2
Consumer
Finance
5‌
.7
Total
Investments
100‌
.0
%
***
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
***
Does
not
include
open
futures
contracts
with
a
value
of
$
205,609
and
total
unrealized
appreciation
of
$
45
.
Morgan
Stanley
ETF
Trust
Parametric
Equity
Plus
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Shares
Value
Common
Stocks
(96.4%)
Aerospace
&
Defense
(
1
.7
%
)
General
Electric
Co.
684
$
114,084
HEICO
Corp.
144
34,235
HEICO
Corp.,
Class
 A
159
29,587
Lockheed
Martin
Corp.
213
103,505
RTX
Corp.
900
104,148
385,559
Air
Freight
&
Logistics
(
0
.5
%
)
Expeditors
International
of
Washington,
Inc.
252
27,914
United
Parcel
Service,
Inc.,
Class
 B
612
77,173
105,087
Automobiles
(
2
.4
%
)
Ford
Motor
Co.
4,500
44,550
Tesla,
Inc.
(a)
1,224
494,300
538,850
Banks
(
3
.3
%
)
Bank
of
America
Corp.
3,816
167,713
Citizens
Financial
Group,
Inc.
792
34,658
Huntington
Bancshares,
Inc.
3,276
53,301
JPMorgan
Chase
&
Co.
1,368
327,923
Wells
Fargo
&
Co.
2,070
145,397
728,992
Beverages
(
1
.2
%
)
Coca-Cola
Co.
(The)
2,250
140,085
PepsiCo,
Inc.
810
123,169
263,254
Biotechnology
(
1
.3
%
)
AbbVie,
Inc.
936
166,327
Alnylam
Pharmaceuticals,
Inc.
(a)
108
25,414
BioMarin
Pharmaceutical,
Inc.
(a)
180
11,831
Vertex
Pharmaceuticals,
Inc.
(a)
210
84,567
288,139
Broadline
Retail
(
4
.4
%
)
Amazon.com,
Inc.
(a)
4,140
908,275
Coupang,
Inc.
(a)
972
21,365
MercadoLibre,
Inc.
(a)
35
59,515
989,155
Building
Products
(
0
.3
%
)
Builders
FirstSource,
Inc.
(a)
204
29,158
Carlisle
Cos.,
Inc.
108
39,834
68,992
Capital
Markets
(
2
.8
%
)
Ares
Management
Corp.,
Class
 A
324
57,358
Bank
of
New
York
Mellon
Corp.
(The)
846
64,998
Blackstone,
Inc.
540
93,107
Blue
Owl
Capital,
Inc.,
Class
 A
432
10,048
Charles
Schwab
Corp.
(The)
972
71,938
Coinbase
Global,
Inc.,
Class
 A
(a)
108
26,816
Interactive
Brokers
Group,
Inc.,
Class
 A
216
38,161
LPL
Financial
Holdings,
Inc.
90
29,386
Morgan
Stanley
(b)
522
65,626
Nasdaq,
Inc.
702
54,272
Robinhood
Markets,
Inc.,
Class
 A
(a)
306
11,401
State
Street
Corp.
558
54,768
TPG,
Inc.,
Class
 A
90
5,656
Shares
Value
Tradeweb
Markets,
Inc.,
Class
 A
270
$
35,348
618,883
Chemicals
(
1
.4
%
)
Linde
plc
288
120,577
LyondellBasell
Industries
NV,
Class
 A
576
42,780
PPG
Industries,
Inc.
414
49,452
Sherwin-Williams
Co.
(The)
198
67,306
Westlake
Corp.
306
35,083
315,198
Commercial
Services
&
Supplies
(
0
.6
%
)
Republic
Services,
Inc.,
Class
 A
288
57,940
Waste
Management,
Inc.
360
72,644
130,584
Communications
Equipment
(
0
.7
%
)
Cisco
Systems,
Inc.
2,628
155,578
Construction
&
Engineering
(
0
.2
%
)
EMCOR
Group,
Inc.
90
40,851
Construction
Materials
(
0
.3
%
)
CRH
plc
702
64,949
Consumer
Staples
Distribution
&
Retail
(
1
.8
%
)
Costco
Wholesale
Corp.
216
197,914
Walmart,
Inc.
2,322
209,793
407,707
Diversified
Telecommunication
Services
(
0
.5
%
)
AT&T,
Inc.
4,896
111,482
Electric
Utilities
(
1
.1
%
)
Alliant
Energy
Corp.
810
47,903
Edison
International
666
53,174
Entergy
Corp.
720
54,590
FirstEnergy
Corp.
1,206
47,975
PPL
Corp.
1,584
51,417
255,059
Electrical
Equipment
(
0
.4
%
)
GE
Vernova,
Inc.
144
47,366
Vertiv
Holdings
Co.,
Class
 A
288
32,720
80,086
Electronic
Equipment,
Instruments
&
Components
(
0
.3
%
)
TE
Connectivity
plc
396
56,616
Energy
Equipment
&
Services
(
0
.3
%
)
Halliburton
Co.
2,370
64,440
Entertainment
(
1
.9
%
)
Netflix,
Inc.
(a)
216
192,525
ROBLOX
Corp.,
Class
 A
(a)
288
16,664
Spotify
Technology
SA
(a)
108
48,317
TKO
Group
Holdings,
Inc.,
Class
 A
(a)
144
20,464
Walt
Disney
Co.
(The)
1,188
132,284
Warner
Music
Group
Corp.,
Class
 A
324
10,044
420,298
Financial
Services
(
4
.2
%
)
Apollo
Global
Management,
Inc.
360
59,458
Berkshire
Hathaway,
Inc.,
Class
 B
(a)
648
293,725
Block,
Inc.,
Class
 A
(a)
378
32,126
Mastercard,
Inc.,
Class
 A
414
218,000
PayPal
Holdings,
Inc.
(a)
720
61,452
Morgan
Stanley
ETF
Trust
Parametric
Equity
Plus
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Financial
Services
(cont’d)
Visa,
Inc.,
Class
 A
828
$
261,681
926,442
Food
Products
(
0
.6
%
)
Campbell's
Co.
(The)
954
39,953
Hershey
Co.
(The)
288
48,773
Kraft
Heinz
Co.
(The)
1,548
47,539
136,265
Ground
Transportation
(
0
.7
%
)
CSX
Corp.
2,034
65,637
JB
Hunt
Transport
Services,
Inc.
90
15,360
Uber
Technologies,
Inc.
(a)
1,206
72,746
153,743
Health
Care
Equipment
&
Supplies
(
1
.9
%
)
Abbott
Laboratories
1,080
122,159
Baxter
International,
Inc.
1,242
36,217
Edwards
Lifesciences
Corp.
(a)
864
63,962
Hologic,
Inc.
(a)
642
46,282
Intuitive
Surgical,
Inc.
(a)
216
112,743
Zimmer
Biomet
Holdings,
Inc.
450
47,533
428,896
Health
Care
Providers
&
Services
(
1
.6
%
)
Cencora,
Inc.
234
52,575
CVS
Health
Corp.
1,374
61,679
HCA
Healthcare,
Inc.
180
54,027
Humana,
Inc.
278
70,531
Molina
Healthcare,
Inc.
(a)
116
33,762
UnitedHealth
Group,
Inc.
175
88,526
361,100
Health
Care
REITs
(
0
.2
%
)
Healthpeak
Properties,
Inc.
2,124
43,053
Health
Care
Technology
(
0
.2
%
)
Veeva
Systems,
Inc.,
Class
 A
(a)
180
37,845
Hotels,
Restaurants
&
Leisure
(
2
.1
%
)
Carnival
Corp.
(a)
990
24,671
DoorDash,
Inc.,
Class
 A
(a)
216
36,234
DraftKings,
Inc.,
Class
 A
(a)
437
16,256
Flutter
Entertainment
plc
(a)
162
41,869
Hilton
Worldwide
Holdings,
Inc.
270
66,733
Marriott
International,
Inc.,
Class
 A
252
70,293
McDonald's
Corp.
432
125,233
MGM
Resorts
International
(a)
918
31,809
Yum!
Brands,
Inc.
414
55,542
468,640
Household
Durables
(
0
.1
%
)
PulteGroup,
Inc.
233
25,374
Household
Products
(
1
.2
%
)
Church
&
Dwight
Co.,
Inc.
486
50,889
Procter
&
Gamble
Co.
(The)
1,224
205,204
256,093
Industrial
Conglomerates
(
0
.3
%
)
3M
Co.
558
72,032
Insurance
(
2
.1
%
)
Arthur
J
Gallagher
&
Co.
234
66,421
Shares
Value
Brown
&
Brown,
Inc.
486
$
49,582
Hartford
Financial
Services
Group,
Inc.
(The)
486
53,168
Loews
Corp.
486
41,159
MetLife,
Inc.
774
63,375
Principal
Financial
Group,
Inc.
594
45,981
Prudential
Financial,
Inc.
486
57,606
W.
R.
Berkley
Corp.
828
48,455
Willis
Towers
Watson
plc
162
50,745
476,492
Interactive
Media
&
Services
(
6
.8
%
)
Alphabet,
Inc.,
Class
 A
2,628
497,480
Alphabet,
Inc.,
Class
 C
2,268
431,918
Meta
Platforms,
Inc.,
Class
 A
972
569,116
Pinterest,
Inc.,
Class
 A
(a)
504
14,616
Snap,
Inc.,
Class
 A
(a)
540
5,816
1,518,946
IT
Services
(
1
.2
%
)
Accenture
plc,
Class
 A
378
132,977
Amdocs
Ltd.
144
12,260
Cloudflare,
Inc.,
Class
 A
(a)
216
23,259
Gartner,
Inc.
(a)
81
39,242
MongoDB,
Inc.,
Class
 A
(a)
90
20,953
Okta,
Inc.,
Class
 A
(a)
90
7,092
Snowflake,
Inc.,
Class
 A
(a)
216
33,352
269,135
Life
Sciences
Tools
&
Services
(
1
.2
%
)
Avantor,
Inc.
(a)
1,242
26,169
Danaher
Corp.
432
99,165
Illumina,
Inc.
(a)
162
21,648
Thermo
Fisher
Scientific,
Inc.
234
121,734
268,716
Machinery
(
1
.5
%
)
Caterpillar,
Inc.
306
111,005
Dover
Corp.
270
50,652
IDEX
Corp.
180
37,672
Nordson
Corp.
172
35,989
Otis
Worldwide
Corp.
576
53,343
Westinghouse
Air
Brake
Technologies
Corp.
288
54,602
343,263
Media
(
0
.4
%
)
Fox
Corp.,
Class
 A
720
34,978
Fox
Corp.,
Class
 B
396
18,113
Trade
Desk,
Inc.
(The),
Class
 A
(a)
270
31,733
84,824
Metals
&
Mining
(
0
.3
%
)
Reliance,
Inc.
108
29,080
Southern
Copper
Corp.
340
30,984
60,064
Multi-Utilities
(
0
.9
%
)
Ameren
Corp.
576
51,345
CMS
Energy
Corp.
720
47,988
DTE
Energy
Co.
414
49,990
WEC
Energy
Group,
Inc.
558
52,474
201,797
Oil,
Gas
&
Consumable
Fuels
(
2
.8
%
)
Cheniere
Energy,
Inc.
306
65,750
Morgan
Stanley
ETF
Trust
Parametric
Equity
Plus
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Oil,
Gas
&
Consumable
Fuels
(cont’d)
Chevron
Corp.
972
$
140,784
Diamondback
Energy,
Inc.
306
50,132
Exxon
Mobil
Corp.
2,214
238,160
Occidental
Petroleum
Corp.
1,116
55,142
Targa
Resources
Corp.
306
54,621
Texas
Pacific
Land
Corp.
19
21,013
625,602
Passenger
Airlines
(
0
.2
%
)
Delta
Air
Lines,
Inc.
567
34,304
Pharmaceuticals
(
3
.4
%
)
Eli
Lilly
&
Co.
396
305,712
Johnson
&
Johnson
1,398
202,179
Merck
&
Co.,
Inc.
1,458
145,042
Pfizer,
Inc.
3,780
100,283
Royalty
Pharma
plc,
Class
 A
360
9,184
762,400
Professional
Services
(
0
.8
%
)
Broadridge
Financial
Solutions,
Inc.
234
52,905
SS&C
Technologies
Holdings,
Inc.
630
47,741
TransUnion
180
16,688
Verisk
Analytics,
Inc.,
Class
 A
198
54,535
171,869
Residential
REITs
(
0
.8
%
)
AvalonBay
Communities,
Inc.
234
51,473
Equity
Residential
720
51,667
Invitation
Homes,
Inc.
1,512
48,339
Sun
Communities,
Inc.
270
33,202
184,681
Retail
REITs
(
0
.3
%
)
Realty
Income
Corp.
1,062
56,721
Semiconductors
&
Semiconductor
Equipment
(
10
.6
%
)
Broadcom,
Inc.
2,160
500,774
Entegris,
Inc.
581
57,554
GLOBALFOUNDRIES,
Inc.
(a)
1,150
49,346
Lam
Research
Corp.
1,303
94,116
Marvell
Technology,
Inc.
540
59,643
Microchip
Technology,
Inc.
1,180
67,673
NVIDIA
Corp.
10,463
1,405,076
QUALCOMM,
Inc.
830
127,505
2,361,687
Software
(
10
.5
%
)
Adobe,
Inc.
(a)
279
124,066
AppLovin
Corp.,
Class
 A
(a)
144
46,632
Atlassian
Corp.,
Class
 A
(a)
90
21,904
Bentley
Systems,
Inc.,
Class
 B
432
20,174
Datadog,
Inc.,
Class
 A
(a)
270
38,580
HubSpot,
Inc.
(a)
15
10,452
Microsoft
Corp.
3,186
1,342,899
MicroStrategy,
Inc.,
Class
 A
(a)
102
29,541
Oracle
Corp.
918
152,976
Palantir
Technologies,
Inc.,
Class
 A
(a)
972
73,512
Palo
Alto
Networks,
Inc.
(a)
432
78,607
Salesforce,
Inc.
522
174,520
ServiceNow,
Inc.
(a)
126
133,575
Workday,
Inc.,
Class
 A
(a)
216
55,735
Shares
Value
Zoom
Communications,
Inc.,
Class
 A
(a)
126
$
10,283
Zscaler,
Inc.
(a)
108
19,484
2,332,940
Specialized
REITs
(
0
.7
%
)
Crown
Castle,
Inc.
558
50,644
Iron
Mountain,
Inc.
450
47,299
VICI
Properties,
Inc.,
Class
 A
1,728
50,475
148,418
Specialty
Retail
(
1
.7
%
)
Carvana
Co.,
Class
 A
(a)
90
18,302
Home
Depot,
Inc.
(The)
535
208,110
Ross
Stores,
Inc.
414
62,626
Ulta
Beauty,
Inc.
(a)
90
39,144
Williams-Sonoma,
Inc.
216
39,999
368,181
Technology
Hardware,
Storage
&
Peripherals
(
8
.1
%
)
Apple,
Inc.
6,408
1,604,691
Dell
Technologies,
Inc.,
Class
 C
275
31,691
HP,
Inc.
2,059
67,185
NetApp,
Inc.
432
50,147
Pure
Storage,
Inc.,
Class
 A
(a)
360
22,115
Seagate
Technology
Holdings
plc
239
20,628
1,796,457
Textiles,
Apparel
&
Luxury
Goods
(
0
.3
%
)
NIKE,
Inc.,
Class
 B
1,026
77,637
Tobacco
(
0
.5
%
)
Philip
Morris
International,
Inc.
954
114,814
Trading
Companies
&
Distributors
(
0
.4
%
)
Ferguson
Enterprises,
Inc.
270
46,864
Watsco,
Inc.
90
42,650
89,514
Wireless
Telecommunication
Services
(
0
.4
%
)
T-Mobile
US,
Inc.
378
83,436
Total
Common
Stocks
(Cost
$21,572,207)
21,431,140
Short-Term
Investment
(4.1%)
Investment
Company
(4.1%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(c)
(Cost
$916,771)
916,771
916,771
Total
Investments
Excluding
Purchased
Options
(
100
.5
%
)
(Cost
$
22,488,978
)
22,347,911
Total
Purchased
Options
Outstanding
(0.4%)
(Cost
$200,653)
84,102
Total
Investments
(
100
.9
%
)
(Cost
$
22,689,631
)
(d)
22,432,013
Total
Written
Options
(-1.1%)
(Premiums
Received
$
(
215,588
)
)
(234,276)
Other
Assets
in
Excess
of
Liabilities
(
0.2%
)
35,865
NET
ASSETS
(100.0%)
$
22,233,602
Morgan
Stanley
ETF
Trust
Parametric
Equity
Plus
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
(a)
Non-income
producing
security.
(b)
For
the
period
ended
December
31,
2024,
the
cost
of
purchases
of
Morgan
Stanley,
Common
Stock,
which
may
be
deemed
an
affiliate
of
the
Adviser
under
the
Investment
Company
Act
of
1940,
was
$67,583.
(c)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$197
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(d)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$22,689,631.
The
aggregate
gross
unrealized
appreciation
is
$658,723
and
the
aggregate
gross
unrealized
depreciation
is
$916,341,
resulting
in
net
unrealized
depreciation
of
$257,618.
REIT
Real
Estate
Investment
Trust
Morgan
Stanley
ETF
Trust
Parametric
Equity
Plus
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Put
Options
Purchased:
The
Fund
had
the
following
put
options
purchased
open
at
December
31,
2024:
Description
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Amount
Value
Premiums
Paid
Unrealized
Depreciation
S&P
500
Mini-SPX
Index
100
USD
420
1/17/25
$
5,881,600
$
950
$
4,440
$
(
3,490
)
S&P
500
Mini-SPX
Index
64
USD
420
2/21/25
3,764,224
2,624
4,570
(
1,946
)
S&P
500
Mini-SPX
Index
30
USD
410
3/21/25
1,764,480
2,085
4,632
(
2,547
)
S&P
500
Mini-SPX
Index
33
USD
420
4/17/25
1,940,928
3,778
4,567
(
789
)
S&P
500
Mini-SPX
Index
26
USD
420
5/16/25
1,529,216
4,134
4,378
(
244
)
S&P
500
Mini-SPX
Index
15
USD
412
6/20/25
882,240
3,022
4,491
(
1,469
)
Total
$16,593
$27,078
$(10,485)
Call
Options
Purchased:
The
Fund
had
the
following
call
options
purchased
open
at
December
31,
2024:
Description
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Amount
Value
Premiums
Paid
Unrealized
Depreciation
SPDR
S&P
500
ETF
Trust
93
USD
607
3/21/25
$
5,450,544
$
67,509
$
173,575
$
(
106,066
)
Call
Options
Written:
The
Fund
had
the
following
call
options
written
open
at
December
31,
2024:
Description
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Amount
Value
Premiums
Received
Unrealized
Appreciation/
(Depreciation)
S&P
500
Index
6
USD
6,035
1/03/25
$
3,528,978
$
(
264
)
$
(
5,452
)
$
5,188
S&P
500
Index
6
USD
6,080
1/06/25
3,528,978
(
180
)
(
6,550
)
6,370
S&P
500
Index
6
USD
6,020
1/06/25
3,528,978
(
1,200
)
(
5,272
)
4,072
S&P
500
Index
6
USD
5,975
1/08/25
3,528,978
(
7,620
)
(
7,972
)
352
S&P
500
Index
6
USD
6,070
1/10/25
3,528,978
(
1,980
)
(
8,632
)
6,652
S&P
500
Index
6
USD
6,010
1/15/25
3,528,978
(
10,020
)
(
9,790
)
(
230
)
Total
$(21,264)
$(43,668)
$22,404
Put
Options
Written:
The
Fund
had
the
following
put
options
written
open
at
December
31,
2024:
Description
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Amount
Value
Premiums
Received
Unrealized
Depreciation
SPDR
S&P
500
ETF
Trust
93
USD
607
3/21/25
$
5,450,544
$
(
213,012
)
$
(
171,920
)
$
(
41,092
)
USD
United
States
Dollar
Portfolio
Composition
Classification  
Percentage
of
Total
Investments
Other*
64
.4
%
Semiconductors
&
Semiconductor
Equipment
10
.5
Software
10
.3
Technology
Hardware,
Storage
&
Peripherals
8
.0
Interactive
Media
&
Services
6
.8
Total
Investments
100
.0
%
*
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Parametric
Equity
Premium
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Shares
Value
Common
Stocks
(98.1%)
Aerospace
&
Defense
(
1
.8
%
)
General
Dynamics
Corp.
2,038
$
536,993
Huntington
Ingalls
Industries,
Inc.
2,368
447,481
L3Harris
Technologies,
Inc.
2,490
523,597
RTX
Corp.
4,913
568,532
2,076,603
Air
Freight
&
Logistics
(
1
.0
%
)
Expeditors
International
of
Washington,
Inc.
5,311
588,300
United
Parcel
Service,
Inc.,
Class
 B
4,792
604,271
1,192,571
Automobile
Components
(
1
.0
%
)
Gentex
Corp.
20,780
597,010
Lear
Corp.
5,916
560,245
1,157,255
Banks
(
1
.7
%
)
Cullen/Frost
Bankers,
Inc.
4,976
668,028
Prosperity
Bancshares,
Inc.
8,413
633,920
Regions
Financial
Corp.
26,629
626,314
1,928,262
Beverages
(
2
.4
%
)
Brown-Forman
Corp.,
Class
 B
(a)
12,536
476,117
Coca-Cola
Co.
(The)
9,258
576,403
Keurig
Dr
Pepper,
Inc.
16,939
544,081
Molson
Coors
Beverage
Co.,
Class
 B
11,122
637,513
PepsiCo,
Inc.
3,565
542,094
2,776,208
Biotechnology
(
1
.1
%
)
AbbVie,
Inc.
3,259
579,124
Gilead
Sciences,
Inc.
7,297
674,024
1,253,148
Building
Products
(
1
.0
%
)
AO
Smith
Corp.
8,154
556,184
Johnson
Controls
International
plc
8,171
644,937
1,201,121
Capital
Markets
(
1
.7
%
)
CME
Group,
Inc.
2,751
638,865
Janus
Henderson
Group
plc
15,395
654,749
T
Rowe
Price
Group,
Inc.
5,782
653,886
1,947,500
Chemicals
(
5
.5
%
)
Air
Products
and
Chemicals,
Inc.
1,894
549,336
Ashland,
Inc.
7,101
507,437
Corteva,
Inc.
10,407
592,783
Dow,
Inc.
11,749
471,487
DuPont
de
Nemours,
Inc.
7,561
576,526
Eastman
Chemical
Co.
5,699
520,433
FMC
Corp.
(a)
9,757
474,288
Huntsman
Corp.
26,498
477,759
Linde
plc
1,280
535,897
LyondellBasell
Industries
NV,
Class
 A
6,819
506,447
Mosaic
Co.
(The)
23,841
586,012
PPG
Industries,
Inc.
4,984
595,339
6,393,744
Shares
Value
Communications
Equipment
(
0
.6
%
)
Cisco
Systems,
Inc.
11,076
$
655,699
Consumer
Staples
Distribution
&
Retail
(
1
.1
%
)
Costco
Wholesale
Corp.
701
642,305
Walmart,
Inc.
7,564
683,408
1,325,713
Containers
&
Packaging
(
2
.6
%
)
Amcor
plc
(a)
57,144
537,725
AptarGroup,
Inc.
3,680
578,128
International
Paper
Co.
12,854
691,802
Packaging
Corp.
of
America
2,764
622,260
Sonoco
Products
Co.
11,960
584,246
3,014,161
Distributors
(
1
.1
%
)
Genuine
Parts
Co.
5,364
626,301
LKQ
Corp.
16,662
612,328
1,238,629
Diversified
Telecommunication
Services
(
1
.6
%
)
AT&T,
Inc.
28,097
639,769
Cogent
Communications
Holdings,
Inc.
7,719
594,903
Verizon
Communications,
Inc.
14,707
588,133
1,822,805
Electric
Utilities
(
5
.7
%
)
Alliant
Energy
Corp.
9,973
589,803
American
Electric
Power
Co.,
Inc.
6,139
566,200
Duke
Energy
Corp.
5,193
559,494
Evergy,
Inc.
(a)
10,193
627,379
FirstEnergy
Corp.
14,137
562,370
IDACORP,
Inc.
5,964
651,746
OGE
Energy
Corp.
15,210
627,412
Portland
General
Electric
Co.
12,752
556,242
PPL
Corp.
19,063
618,785
Southern
Co.
(The)
6,727
553,767
Xcel
Energy,
Inc.
(a)
9,748
658,185
6,571,383
Electrical
Equipment
(
0
.6
%
)
Emerson
Electric
Co.
5,845
724,371
Electronic
Equipment,
Instruments
&
Components
(
2
.2
%
)
Avnet,
Inc.
11,681
611,150
Badger
Meter,
Inc.
3,093
656,087
Corning,
Inc.
13,461
639,667
TD
SYNNEX
Corp.
5,321
624,047
2,530,951
Energy
Equipment
&
Services
(
1
.6
%
)
Baker
Hughes
Co.,
Class
 A
17,005
697,545
Helmerich
&
Payne,
Inc.
(a)
17,999
576,328
Noble
Corp.
plc
(a)
18,877
592,738
1,866,611
Entertainment
(
0
.5
%
)
Electronic
Arts,
Inc.
4,300
629,090
Financial
Services
(
2
.0
%
)
Essent
Group
Ltd.
9,586
521,862
Jack
Henry
&
Associates,
Inc.
3,471
608,466
MGIC
Investment
Corp.
24,822
588,530
Morgan
Stanley
ETF
Trust
Parametric
Equity
Premium
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Financial
Services
(cont’d)
Western
Union
Co.
(The)
52,596
$
557,517
2,276,375
Food
Products
(
4
.1
%
)
Archer-Daniels-Midland
Co.
11,230
567,340
Bunge
Global
SA
7,073
549,996
Cal-Maine
Foods,
Inc.
7,085
729,188
Conagra
Brands,
Inc.
20,898
579,919
Flowers
Foods,
Inc.
28,162
581,827
Hormel
Foods
Corp.
19,963
626,239
Ingredion,
Inc.
4,591
631,538
Kraft
Heinz
Co.
(The)
17,281
530,700
4,796,747
Gas
Utilities
(
1
.5
%
)
Atmos
Energy
Corp.
(a)
4,313
600,672
National
Fuel
Gas
Co.
10,021
608,074
ONE
Gas,
Inc.
8,379
580,246
1,788,992
Health
Care
Equipment
&
Supplies
(
2
.0
%
)
Abbott
Laboratories
5,460
617,581
Becton
Dickinson
&
Co.
2,584
586,232
Medtronic
plc
6,863
548,216
Stryker
Corp.
1,722
620,006
2,372,035
Health
Care
Providers
&
Services
(
4
.6
%
)
Cardinal
Health,
Inc.
5,537
654,861
Cencora,
Inc.
2,637
592,481
Chemed
Corp.
1,063
563,177
Cigna
Group
(The)
1,976
545,653
Elevance
Health,
Inc.
1,510
557,039
Labcorp
Holdings,
Inc.
2,865
657,002
Premier,
Inc.,
Class
 A
(a)
31,653
671,043
Quest
Diagnostics,
Inc.
4,030
607,966
UnitedHealth
Group,
Inc.
1,078
545,317
5,394,539
Hotels,
Restaurants
&
Leisure
(
2
.2
%
)
Darden
Restaurants,
Inc.
3,829
714,836
Texas
Roadhouse,
Inc.,
Class
 A
3,537
638,181
Vail
Resorts,
Inc.
3,747
702,375
Wendy's
Co.
(The)
32,889
536,091
2,591,483
Household
Durables
(
1
.7
%
)
Garmin
Ltd.
3,880
800,289
Lennar
Corp.,
Class
 A
3,649
497,614
Whirlpool
Corp.
(a)
6,315
722,941
2,020,844
Household
Products
(
1
.6
%
)
Church
&
Dwight
Co.,
Inc.
6,132
642,082
Kimberly-Clark
Corp.
4,595
602,129
Procter
&
Gamble
Co.
(The)
3,740
627,011
1,871,222
Insurance
(
5
.3
%
)
Aflac,
Inc.
5,619
581,229
American
Financial
Group,
Inc.
4,786
655,347
Cincinnati
Financial
Corp.
4,505
647,369
Fidelity
National
Financial,
Inc.
10,501
589,526
Shares
Value
Hartford
Financial
Services
Group,
Inc.
(The)
5,278
$
577,413
Old
Republic
International
Corp.
17,590
636,582
Principal
Financial
Group,
Inc.
6,792
525,769
Prudential
Financial,
Inc.
5,076
601,658
Travelers
Cos.,
Inc.
(The)
2,465
593,794
Unum
Group
9,825
717,520
6,126,207
IT
Services
(
2
.1
%
)
Accenture
plc,
Class
 A
1,719
604,727
Amdocs
Ltd.
7,050
600,237
Cognizant
Technology
Solutions
Corp.,
Class
 A
8,303
638,501
International
Business
Machines
Corp.
2,661
584,967
2,428,432
Leisure
Products
(
0
.9
%
)
Hasbro,
Inc.
8,618
481,832
Polaris,
Inc.
(a)
8,995
518,292
1,000,124
Life
Sciences
Tools
&
Services
(
0
.5
%
)
Danaher
Corp.
2,464
565,611
Machinery
(
2
.2
%
)
Cummins,
Inc.
1,877
654,322
Donaldson
Co.,
Inc.
8,424
567,356
Graco,
Inc.
7,585
639,340
Snap-on,
Inc.
1,948
661,307
2,522,325
Media
(
3
.3
%
)
Comcast
Corp.,
Class
 A
15,277
573,346
Fox
Corp.,
Class
 A
15,322
744,343
Fox
Corp.,
Class
 B
16,129
737,740
Interpublic
Group
of
Cos.,
Inc.
(The)
20,934
586,571
New
York
Times
Co.
(The),
Class
 A
(a)
11,596
603,572
Omnicom
Group,
Inc.
6,259
538,524
3,784,096
Metals
&
Mining
(
1
.3
%
)
Newmont
Corp.
10,470
389,693
Reliance,
Inc.
(a)
2,230
600,450
Royal
Gold,
Inc.
4,160
548,496
1,538,639
Multi-Utilities
(
3
.0
%
)
Ameren
Corp.
7,033
626,922
Consolidated
Edison,
Inc.
5,824
519,675
Dominion
Energy,
Inc.
10,249
552,011
Public
Service
Enterprise
Group,
Inc.
6,880
581,291
Sempra
7,288
639,303
WEC
Energy
Group,
Inc.
6,291
591,606
3,510,808
Oil,
Gas
&
Consumable
Fuels
(
8
.6
%
)
Antero
Midstream
Corp.
42,533
641,823
Chevron
Corp.
4,188
606,590
Chord
Energy
Corp.
4,816
563,087
ConocoPhillips
5,818
576,971
Coterra
Energy,
Inc.
26,248
670,374
CVR
Energy,
Inc.
(a)
25,335
474,778
Devon
Energy
Corp.
15,313
501,194
DT
Midstream,
Inc.
7,221
717,984
EOG
Resources,
Inc.
5,065
620,868
Morgan
Stanley
ETF
Trust
Parametric
Equity
Premium
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Oil,
Gas
&
Consumable
Fuels
(cont’d)
Exxon
Mobil
Corp.
5,138
$
552,695
HF
Sinclair
Corp.
14,123
495,011
International
Seaways,
Inc.
(a)
13,561
487,382
Kinder
Morgan,
Inc.
25,056
686,534
ONEOK,
Inc.
6,521
654,708
Phillips
66
4,700
535,471
Valero
Energy
Corp.
4,567
559,869
Williams
Cos.,
Inc.
(The)
12,081
653,824
9,999,163
Pharmaceuticals
(
2
.0
%
)
Johnson
&
Johnson
3,771
545,362
Merck
&
Co.,
Inc.
5,925
589,419
Pfizer,
Inc.
21,859
579,919
Royalty
Pharma
plc,
Class
 A
23,058
588,210
2,302,910
Professional
Services
(
2
.1
%
)
Automatic
Data
Processing,
Inc.
2,145
627,906
ManpowerGroup,
Inc.
10,047
579,913
Paychex,
Inc.
4,376
613,603
Robert
Half,
Inc.
9,431
664,508
2,485,930
Semiconductors
&
Semiconductor
Equipment
(
2
.5
%
)
Analog
Devices,
Inc.
2,735
581,078
Power
Integrations,
Inc.
10,142
625,761
QUALCOMM,
Inc.
3,784
581,298
Skyworks
Solutions,
Inc.
(a)
6,397
567,286
Texas
Instruments,
Inc.
3,095
580,344
2,935,767
Software
(
2
.3
%
)
Dolby
Laboratories,
Inc.,
Class
 A
8,659
676,268
InterDigital,
Inc.
(a)
4,164
806,650
Microsoft
Corp.
1,485
625,928
Roper
Technologies,
Inc.
1,159
602,506
2,711,352
Specialty
Retail
(
1
.6
%
)
Best
Buy
Co.,
Inc.
6,738
578,121
Penske
Automotive
Group,
Inc.
4,146
632,016
TJX
Cos.,
Inc.
(The)
5,506
665,180
1,875,317
Technology
Hardware,
Storage
&
Peripherals
(
1
.1
%
)
Hewlett
Packard
Enterprise
Co.
32,472
693,277
HP,
Inc.
17,583
573,734
1,267,011
Textiles,
Apparel
&
Luxury
Goods
(
2
.1
%
)
Carter's,
Inc.
(a)
9,627
521,687
Columbia
Sportswear
Co.
8,042
674,965
Oxford
Industries,
Inc.
8,361
658,680
Steven
Madden
Ltd.
13,889
590,560
2,445,892
Tobacco
(
1
.1
%
)
Altria
Group,
Inc.
12,439
650,435
Philip
Morris
International,
Inc.
4,828
581,050
1,231,485
Shares
Value
Trading
Companies
&
Distributors
(
1
.6
%
)
Fastenal
Co.
8,294
$
596,421
MSC
Industrial
Direct
Co.,
Inc.,
Class
 A
7,810
583,329
Watsco,
Inc.
1,347
638,330
1,818,080
Total
Common
Stocks
(Cost
$116,418,131)
113,967,211
Short-Term
Investments
(3.6%)
Investment
Company
(1.2%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(b)
(Cost
$1,389,785)
1,389,785
1,389,785
Security
held
as
Collateral
on
Loaned
Securities
(
2
.4
%
)
Investment
Company
(2.4%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(b)
(Cost
$2,800,803)
2,800,803
2,800,803
Total
Short-Term
Investments
(Cost
$4,190,588)
4,190,588
Total
Investments
(
101
.7
%
)
(Cost
$
120,608,719
)
(c)
118,157,799
Total
Written
Options
(-0.1%)
(Premiums
Received
$
(
283,893
)
)
(119,426)
Liabilities
in
Excess
of
Other
Assets
(
-1.6%
)
(1,859,909)
NET
ASSETS
(100.0%)
$
116,178,464
(a)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$5,489,545
and
$5,605,996,
respectively.
The
Fund
received
cash
collateral
of
$2,800,803,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$2,805,193
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(b)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$368
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(c)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$120,608,719.
The
aggregate
gross
unrealized
appreciation
is
$2,953,618
and
the
aggregate
gross
unrealized
depreciation
is
$5,404,538,
resulting
in
net
unrealized
depreciation
of
$2,450,920.
Morgan
Stanley
ETF
Trust
Parametric
Equity
Premium
Income
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Call
Options
Written:
The
Fund
had
the
following
call
options
written
open
at
December
31,
2024:
Description
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Amount
Value
Premiums
Received
Unrealized
Appreciation/
(Depreciation)
SPDR
S&P
500
ETF
Trust
629
USD
605
1/06/25
$
36,864,432
$
(
1,918
)
$
(
89,484
)
$
87,566
SPDR
S&P
500
ETF
Trust
715
USD
605
1/10/25
41,904,720
(
23,134
)
(
100,934
)
77,800
SPDR
S&P
500
ETF
Trust
642
USD
600
1/15/25
37,626,336
(
94,374
)
(
93,475
)
(
899
)
Total
$(119,426)
$(283,893)
$164,467
USD
United
States
Dollar
Portfolio
Composition
*
Classification  
Percentage
of
Total
Investments
Other**
74
.8
%
Oil,
Gas
&
Consumable
Fuels
8
.7
Electric
Utilities
5
.7
Chemicals
5
.5
Insurance
5
.3
Total
Investments
100
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
Morgan
Stanley
ETF
Trust
Parametric
Hedged
Equity
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)
Shares
Value
Common
Stocks
(99.1%)
Aerospace
&
Defense
(
1
.6
%
)
Boeing
Co.
(The)
(a)
1,659
$
293,643
HEICO
Corp.
(b)
600
142,644
HEICO
Corp.,
Class
 A
489
90,993
Howmet
Aerospace,
Inc.
2,354
257,457
Lockheed
Martin
Corp.
792
384,865
1,169,602
Air
Freight
&
Logistics
(
0
.2
%
)
Expeditors
International
of
Washington,
Inc.
1,399
154,967
Automobile
Components
(
0
.2
%
)
Aptiv
plc
(a)
1,899
114,852
Automobiles
(
2
.3
%
)
Tesla,
Inc.
(a)
4,282
1,729,243
Banks
(
3
.7
%
)
Bank
of
America
Corp.
14,271
627,210
Citizens
Financial
Group,
Inc.
4,001
175,084
First
Citizens
BancShares,
Inc.,
Class
 A
39
82,408
Huntington
Bancshares,
Inc.
12,841
208,923
JPMorgan
Chase
&
Co.
4,922
1,179,853
Wells
Fargo
&
Co.
6,546
459,791
2,733,269
Beverages
(
1
.5
%
)
Coca-Cola
Co.
(The)
9,140
569,056
PepsiCo,
Inc.
3,298
501,494
1,070,550
Biotechnology
(
1
.9
%
)
AbbVie,
Inc.
3,749
666,197
Alnylam
Pharmaceuticals,
Inc.
(a)
404
95,065
Amgen,
Inc.
1,152
300,257
Regeneron
Pharmaceuticals,
Inc.
(a)
142
101,151
Vertex
Pharmaceuticals,
Inc.
(a)
564
227,123
1,389,793
Broadline
Retail
(
4
.5
%
)
Amazon.com,
Inc.
(a)
14,411
3,161,629
Coupang,
Inc.
(a)
800
17,584
MercadoLibre,
Inc.
(a)
90
153,040
3,332,253
Building
Products
(
0
.5
%
)
Builders
FirstSource,
Inc.
(a)
345
49,311
Carlisle
Cos.,
Inc.
301
111,021
Lennox
International,
Inc.
302
184,008
344,340
Capital
Markets
(
2
.0
%
)
Ares
Management
Corp.,
Class
 A
1,107
195,972
Blue
Owl
Capital,
Inc.,
Class
 A
1,702
39,589
Charles
Schwab
Corp.
(The)
3,157
233,650
Coinbase
Global,
Inc.,
Class
 A
(a)
295
73,248
Interactive
Brokers
Group,
Inc.,
Class
 A
447
78,971
KKR
&
Co.,
Inc.
2,257
333,833
LPL
Financial
Holdings,
Inc.
111
36,243
Morgan
Stanley
(c)
1,795
225,667
Nasdaq,
Inc.
2,195
169,695
Tradeweb
Markets,
Inc.,
Class
 A
603
78,945
1,465,813
Shares
Value
Chemicals
(
1
.2
%
)
International
Flavors
&
Fragrances,
Inc.
1,342
$
113,466
Linde
plc
1,087
455,094
LyondellBasell
Industries
NV,
Class
 A
1,953
145,049
PPG
Industries,
Inc.
1,091
130,320
Westlake
Corp.
207
23,733
867,662
Commercial
Services
&
Supplies
(
1
.1
%
)
Cintas
Corp.
1,437
262,540
Republic
Services,
Inc.,
Class
 A
1,208
243,026
Waste
Management,
Inc.
1,460
294,613
800,179
Communications
Equipment
(
0
.8
%
)
Cisco
Systems,
Inc.
10,055
595,256
Construction
Materials
(
0
.1
%
)
CRH
plc
956
88,449
Consumer
Finance
(
0
.8
%
)
American
Express
Co.
1,458
432,720
Synchrony
Financial
2,994
194,610
627,330
Consumer
Staples
Distribution
&
Retail
(
2
.0
%
)
Costco
Wholesale
Corp.
833
763,253
Walmart,
Inc.
7,781
703,013
1,466,266
Containers
&
Packaging
(
0
.2
%
)
Amcor
plc
(b)
14,895
140,162
Diversified
Telecommunication
Services
(
0
.7
%
)
AT&T,
Inc.
21,222
483,225
Electric
Utilities
(
1
.2
%
)
Alliant
Energy
Corp.
3,496
206,753
Entergy
Corp.
3,912
296,608
FirstEnergy
Corp.
3,793
150,886
PPL
Corp.
6,753
219,202
873,449
Electrical
Equipment
(
0
.5
%
)
AMETEK,
Inc.
1,060
191,075
Hubbell,
Inc.,
Class
 B
211
88,386
Vertiv
Holdings
Co.,
Class
 A
747
84,867
364,328
Electronic
Equipment,
Instruments
&
Components
(
0
.6
%
)
Corning,
Inc.
3,992
189,700
TE
Connectivity
plc
1,690
241,619
431,319
Energy
Equipment
&
Services
(
0
.1
%
)
Halliburton
Co.
4,051
110,147
Entertainment
(
1
.9
%
)
Netflix,
Inc.
(a)
680
606,098
ROBLOX
Corp.,
Class
 A
(a)
1,752
101,371
Spotify
Technology
SA
(a)
309
138,240
Walt
Disney
Co.
(The)
3,602
401,083
Warner
Bros
Discovery,
Inc.
(a)
14,494
153,201
Warner
Music
Group
Corp.,
Class
 A
(b)
550
17,050
1,417,043
Morgan
Stanley
ETF
Trust
Parametric
Hedged
Equity
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Financial
Services
(
4
.5
%
)
Apollo
Global
Management,
Inc.
1,350
$
222,966
Berkshire
Hathaway,
Inc.,
Class
 B
(a)
2,205
999,482
Block,
Inc.,
Class
 A
(a)
1,010
85,840
Mastercard,
Inc.,
Class
 A
1,538
809,865
PayPal
Holdings,
Inc.
(a)
2,400
204,840
Rocket
Cos.,
Inc.,
Class
 A
(a)(b)
1,842
20,741
Visa,
Inc.,
Class
 A
(b)
3,003
949,068
3,292,802
Food
Products
(
0
.7
%
)
Campbell's
Co.
(The)
3,102
129,912
Conagra
Brands,
Inc.
4,610
127,927
Kellanova
2,800
226,716
484,555
Ground
Transportation
(
0
.7
%
)
JB
Hunt
Transport
Services,
Inc.
956
163,151
Union
Pacific
Corp.
1,600
364,864
528,015
Health
Care
Equipment
&
Supplies
(
1
.5
%
)
Align
Technology,
Inc.
(a)
194
40,451
Intuitive
Surgical,
Inc.
(a)
807
421,222
Medtronic
plc
4,261
340,369
ResMed,
Inc.
751
171,746
Zimmer
Biomet
Holdings,
Inc.
909
96,017
1,069,805
Health
Care
Providers
&
Services
(
1
.9
%
)
Cencora,
Inc.
909
204,234
Labcorp
Holdings,
Inc.
953
218,542
Molina
Healthcare,
Inc.
(a)
342
99,539
UnitedHealth
Group,
Inc.
1,686
852,880
1,375,195
Health
Care
REITs
(
0
.5
%
)
Alexandria
Real
Estate
Equities,
Inc.
1,442
140,667
Healthpeak
Properties,
Inc.
10,007
202,842
343,509
Health
Care
Technology
(
0
.1
%
)
Veeva
Systems,
Inc.,
Class
 A
(a)
353
74,218
Hotels,
Restaurants
&
Leisure
(
1
.5
%
)
Airbnb,
Inc.,
Class
 A
(a)
809
106,311
Booking
Holdings,
Inc.
57
283,200
Darden
Restaurants,
Inc.
1,307
244,004
DoorDash,
Inc.,
Class
 A
(a)
541
90,753
DraftKings,
Inc.,
Class
 A
(a)(b)
1,346
50,071
MGM
Resorts
International
(a)
2,447
84,788
Yum
China
Holdings,
Inc.
854
41,137
Yum!
Brands,
Inc.
1,795
240,817
1,141,081
Household
Durables
(
0
.2
%
)
PulteGroup,
Inc.
1,585
172,607
Household
Products
(
1
.3
%
)
Kimberly-Clark
Corp.
1,804
236,396
Procter
&
Gamble
Co.
(The)
4,483
751,575
987,971
Shares
Value
Industrial
Conglomerates
(
0
.4
%
)
3M
Co.
2,488
$
321,176
Insurance
(
2
.1
%
)
Brown
&
Brown,
Inc.
2,051
209,243
Hartford
Financial
Services
Group,
Inc.
(The)
2,063
225,692
Loews
Corp.
2,056
174,123
Markel
Group,
Inc.
(a)
97
167,444
Principal
Financial
Group,
Inc.
1,651
127,804
Prudential
Financial,
Inc.
2,103
249,269
Travelers
Cos.,
Inc.
(The)
1,093
263,293
W.
R.
Berkley
Corp.
2,462
144,076
1,560,944
Interactive
Media
&
Services
(
7
.2
%
)
Alphabet,
Inc.,
Class
 A
9,182
1,738,153
Alphabet,
Inc.,
Class
 C
7,821
1,489,431
Meta
Platforms,
Inc.,
Class
 A
3,433
2,010,056
Pinterest,
Inc.,
Class
 A
(a)
749
21,721
Snap,
Inc.,
Class
 A
(a)
2,091
22,520
5,281,881
IT
Services
(
1
.1
%
)
Akamai
Technologies,
Inc.
(a)
1,360
130,084
Amdocs
Ltd.
743
63,259
Cloudflare,
Inc.,
Class
 A
(a)
546
58,793
International
Business
Machines
Corp.
1,987
436,802
MongoDB,
Inc.,
Class
 A
(a)
60
13,969
Okta,
Inc.,
Class
 A
(a)
350
27,580
Snowflake,
Inc.,
Class
 A
(a)
338
52,191
782,678
Life
Sciences
Tools
&
Services
(
0
.7
%
)
Avantor,
Inc.
(a)(b)
2,112
44,500
Illumina,
Inc.
(a)
295
39,421
Thermo
Fisher
Scientific,
Inc.
844
439,074
522,995
Machinery
(
1
.7
%
)
Caterpillar,
Inc.
1,052
381,624
Deere
&
Co.
796
337,265
Dover
Corp.
1,189
223,056
Nordson
Corp.
400
83,696
Otis
Worldwide
Corp.
2,452
227,080
1,252,721
Media
(
0
.2
%
)
Trade
Desk,
Inc.
(The),
Class
 A
(a)
1,090
128,108
Metals
&
Mining
(
0
.3
%
)
Newmont
Corp.
3,716
138,310
Southern
Copper
Corp.
(b)
500
45,565
Steel
Dynamics,
Inc.
560
63,879
247,754
Multi-Utilities
(
1
.1
%
)
Ameren
Corp.
(b)
2,392
213,223
CenterPoint
Energy,
Inc.
6,548
207,768
CMS
Energy
Corp.
(b)
3,104
206,881
DTE
Energy
Co.
1,789
216,022
843,894
Oil,
Gas
&
Consumable
Fuels
(
3
.1
%
)
Cheniere
Energy,
Inc.
744
159,863
Morgan
Stanley
ETF
Trust
Parametric
Hedged
Equity
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
Shares
Value
Oil,
Gas
&
Consumable
Fuels
(cont’d)
Chevron
Corp.
3,798
$
550,102
Devon
Energy
Corp.
6,002
196,446
Diamondback
Energy,
Inc.
1,003
164,322
Exxon
Mobil
Corp.
8,558
920,584
Targa
Resources
Corp.
1,586
283,101
2,274,418
Passenger
Airlines
(
0
.4
%
)
Delta
Air
Lines,
Inc.
4,448
269,104
Pharmaceuticals
(
3
.6
%
)
Bristol-Myers
Squibb
Co.
6,259
354,009
Eli
Lilly
&
Co.
1,359
1,049,148
Johnson
&
Johnson
4,944
715,001
Merck
&
Co.,
Inc.
5,248
522,071
Royalty
Pharma
plc,
Class
 A
1,191
30,383
2,670,612
Professional
Services
(
0
.4
%
)
Booz
Allen
Hamilton
Holding
Corp.,
Class
 A
600
77,220
SS&C
Technologies
Holdings,
Inc.
2,049
155,273
TransUnion
706
65,453
297,946
Residential
REITs
(
1
.2
%
)
AvalonBay
Communities,
Inc.
(b)
1,097
241,307
Equity
Residential
3,149
225,972
Essex
Property
Trust,
Inc.
458
130,731
Mid-America
Apartment
Communities,
Inc.
(b)
1,245
192,440
Sun
Communities,
Inc.
610
75,012
865,462
Semiconductors
&
Semiconductor
Equipment
(
11
.2
%
)
Advanced
Micro
Devices,
Inc.
(a)
2,656
320,818
Broadcom,
Inc.
7,480
1,734,163
Entegris,
Inc.
151
14,958
KLA
Corp.
403
253,938
Lam
Research
Corp.
3,000
216,690
Marvell
Technology,
Inc.
2,045
225,870
Micron
Technology,
Inc.
2,310
194,410
NVIDIA
Corp.
35,638
4,785,827
ON
Semiconductor
Corp.
(a)
1,592
100,376
Texas
Instruments,
Inc.
2,155
404,084
8,251,134
Software
(
10
.6
%
)
Adobe,
Inc.
(a)
701
311,721
Atlassian
Corp.,
Class
 A
(a)
190
46,242
Bentley
Systems,
Inc.,
Class
 B
(b)
646
30,168
Crowdstrike
Holdings,
Inc.,
Class
 A
(a)
363
124,204
Datadog,
Inc.,
Class
 A
(a)
739
105,596
HubSpot,
Inc.
(a)
155
107,999
Microsoft
Corp.
11,182
4,713,213
MicroStrategy,
Inc.,
Class
 A
(a)(b)
437
126,564
Oracle
Corp.
2,906
484,256
Palantir
Technologies,
Inc.,
Class
 A
(a)
3,943
298,209
Palo
Alto
Networks,
Inc.
(a)
1,122
204,159
Salesforce,
Inc.
1,410
471,405
ServiceNow,
Inc.
(a)
443
469,633
Workday,
Inc.,
Class
 A
(a)
352
90,827
Zoom
Communications,
Inc.,
Class
 A
(a)
1,606
131,066
Shares
Value
Zscaler,
Inc.
(a)
303
$
54,664
7,769,926
Specialized
REITs
(
0
.3
%
)
Extra
Space
Storage,
Inc.
1,412
211,235
Specialty
Retail
(
2
.2
%
)
Home
Depot,
Inc.
(The)
2,060
801,320
Lowe's
Cos.,
Inc.
1,548
382,046
Ross
Stores,
Inc.
1,660
251,108
Ulta
Beauty,
Inc.
(a)
456
198,328
Williams-Sonoma,
Inc.
106
19,629
1,652,431
Technology
Hardware,
Storage
&
Peripherals
(
7
.7
%
)
Apple,
Inc.
22,213
5,562,580
Dell
Technologies,
Inc.,
Class
 C
789
90,924
5,653,504
Textiles,
Apparel
&
Luxury
Goods
(
0
.2
%
)
Lululemon
Athletica,
Inc.
(a)
488
186,616
Trading
Companies
&
Distributors
(
0
.4
%
)
Ferguson
Enterprises,
Inc.
710
123,235
United
Rentals,
Inc.
207
145,819
269,054
Wireless
Telecommunication
Services
(
0
.5
%
)
T-Mobile
US,
Inc.
1,537
339,262
Total
Common
Stocks
(Cost
$67,978,505)
72,892,110
Short-Term
Investments
(4.0%)
Investment
Company
(3.7%
)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(d)
(Cost
$2,689,143)
2,689,143
2,689,143
Security
held
as
Collateral
on
Loaned
Securities
(
0
.3
%
)
Investment
Company
(0.3%)
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
4.42%
(d)
(Cost
$242,352)
242,352
242,352
Total
Short-Term
Investments
(Cost
$2,931,495)
2,931,495
Total
Investments
Excluding
Purchased
Options
(
103
.1
%
)
(Cost
$
70,910,000
)
75,823,605
Total
Purchased
Options
Outstanding
(1.4%)
(Cost
$1,465,930)
1,010,230
Total
Investments
(
104
.5
%
)
(Cost
$
72,375,930
)
(e)
76,833,835
Total
Written
Options
(-2.4%)
(Premiums
Received
$
(
1,923,904
)
)
(1,786,447)
Liabilities
in
Excess
of
Other
Assets
(
-2.1%
)
(1,539,616)
NET
ASSETS
(100.0%)
$
73,507,772
Morgan
Stanley
ETF
Trust
Parametric
Hedged
Equity
ETF
Portfolio
of
Investments
First
Quarter
Report
December
31,
2024
(unaudited)(cont’d)
(a)
Non-income
producing
security.
(b)
All
or
a
portion
of
this
security
was
on
loan.
The
value
of
loaned
securities
and
related
collateral
outstanding
at
December
31,
2024,
were
$1,639,102
and
$1,677,372,
respectively.
The
Fund
received
cash
collateral
of
$242,352,
which
was
subsequently
invested
in
Morgan
Stanley
Institutional
Liquidity
Funds
-
Government
Portfolio
-
Institutional
Class
as
reported
in
the
Portfolio
of
Investments.
The
remaining
collateral
of
$1,435,020
was
received
in
the
form
of
U.S.
Government
obligations,
which
the
Fund
cannot
sell
or
re-pledge
and
accordingly
are
not
reflected
in
the
Portfolio
of
Investments.
The
Fund
has
the
right
under
the
securities
lending
agreement
to
recover
the
securities
from
the
borrower
on
demand.
(c)
For
the
period
ended
December
31,
2024,
the
cost
of
purchases
of
Morgan
Stanley,
Common
Stock,
which
may
be
deemed
an
affiliate
of
the
Adviser
under
the
Investment
Company
Act
of
1940,
was
$110,400
and
proceeds
from
sales
were
$45,962,
including
net
realized
gain
of
$2,061.
(d)
The
Fund
invests
in
the
Institutional
Class
of
the
Morgan
Stanley
Institutional
Liquidity
Funds
Government
Portfolio
(the
“Liquidity
Fund”),
an
open-end
management
investment
company
managed
by
the
Adviser,
both
directly
and
as
a
portion
of
the
securities
held
as
collateral
on
loaned
securities.
Management
fees
paid
by
the
Fund
are
reduced
by
an
amount
equal
to
its
pro-rata
share
of
the
management
fees
paid
by
the
Fund
due
to
its
investment
in
the
Liquidity
Fund.
For
the
period
ended
December
31,
2024,
management
fees
paid
were
reduced
by
$377
relating
to
the
Fund’s
investment
in
the
Liquidity
Fund.
(e)
At
December
31,
2024,
the
aggregate
cost
for
federal
income
tax
purposes
is
$72,375,930.
The
aggregate
gross
unrealized
appreciation
is
$6,341,504
and
the
aggregate
gross
unrealized
depreciation
is
$1,883,599,
resulting
in
net
unrealized
appreciation
of
$4,457,905.
REIT
Real
Estate
Investment
Trust
Put
Options
Purchased:
The
Fund
had
the
following
put
options
purchased
open
at
December
31,
2024:
Description
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Amount
Value
Premiums
Paid
Unrealized
Depreciation
S&P
500
Index
31
USD
4,725
3/31/25
$
18,233,053
$
46,190
$
242,027
$
(
195,837
)
S&P
500
Index
32
USD
4,950
6/30/25
18,821,216
171,680
308,860
(
137,180
)
S&P
500
Index
32
USD
5,150
9/30/25
18,821,216
329,280
451,921
(
122,641
)
S&P
500
Index
30
USD
5,300
12/31/25
17,644,890
463,080
463,122
(
42
)
Total
$1,010,230
$1,465,930
$(455,700)
Call
Options
Written:
The
Fund
had
the
following
call
options
written
open
at
December
31,
2024:
Description
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Amount
Value
Premiums
Received
Unrealized
Appreciation/
(Depreciation)
S&P
500
Index
31
USD
6,050
3/31/25
$
18,233,053
$
(
376,340
)
$
(
317,074
)
$
(
59,266
)
S&P
500
Index
32
USD
6,250
6/30/25
18,821,216
(
358,272
)
(
357,869
)
(
403
)
S&P
500
Index
32
USD
6,400
9/30/25
18,821,216
(
404,320
)
(
457,975
)
53,655
S&P
500
Index
30
USD
6,625
12/31/25
17,644,890
(
347,070
)
(
347,028
)
(
42
)
Total
$(1,486,002)
$(1,479,946)
$(6,056)
Put
Options
Written:
The
Fund
had
the
following
put
options
written
open
at
December
31,
2024:
Description
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Amount
Value
Premiums
Received
Unrealized
Appreciation/
(Depreciation)
S&P
500
Index
31
USD
3,675
3/31/25
$
18,233,053
$
(
17,205
)
$
(
79,473
)
$
62,268
S&P
500
Index
32
USD
3,850
6/30/25
18,821,216
(
52,480
)
(
92,180
)
39,700
S&P
500
Index
32
USD
4,000
9/30/25
18,821,216
(
96,000
)
(
137,587
)
41,587
S&P
500
Index
30
USD
4,100
12/31/25
17,644,890
(
134,760
)
(
134,718
)
(
42
)
Total
$(300,445)
$(443,958)
$143,513
USD
United
States
Dollar
Portfolio
Composition
*
Classification  
Percentage
of
Total
Investments
Other**
64
.8
%
Semiconductors
&
Semiconductor
Equipment
10
.8
Software
10
.1
Technology
Hardware,
Storage
&
Peripherals
7
.4
Interactive
Media
&
Services
6
.9
Total
Investments
100
.0
%
*
Percentages
indicated
are
based
upon
total
investments
(excluding
Securities
held
as
Collateral
on
Loaned
Securities)
as
of
December
31,
2024.
**
Industries
and/or
investment
types
representing
less
than
5%
of
total
investments.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
Morgan
Stanley
ETF
Trust
1.
Security
Valuation:
(1)
An
equity
portfolio
security
list-
ed
or
traded
on
an
exchange
is
valued
at
its
latest
reported
sales
price
(or
at
the
exchange
official
closing
price
if
such
exchange
reports
an
official
closing
price),
and
if
there
were
no
sales
on
a
given
day
and
if
there
is
no
official
ex-
change
closing
price
for
that
day,
the
security
is
valued
at
the
mean
between
the
last
reported
bid
and
asked
prices
if
such
bid
and
asked
prices
are
available
on
the
rele-
vant
exchanges.
If
only
bid
prices
are
available
then
the
latest
bid
price
may
be
used.
Listed
equity
securities
not
traded
on
the
valuation
date
with
no
reported
bid
and
asked
prices
available
on
the
exchange
are
valued
at
the
mean
between
the
current
bid
and
asked
prices
obtained
from
one
or
more
reputable
brokers/dealers.
In
cases
where
a
security
is
traded
on
more
than
one
exchange,
the
security
is
valued
on
the
exchange
designated
as
the
primary
market;
(2)
all
other
equity
portfolio
securities
for
which
over-the-counter
(“OTC”)
market
quotations
are
readily
available
are
valued
at
the
latest
reported
sales
price
(or
at
the
market
official
closing
price
if
such
market
reports
an
official
closing
price),
and
if
there
was
no
trading
in
the
security
on
a
given
day
and
if
there
is
no
official
closing
price
from
relevant
markets
for
that
day,
the
security
is
valued
at
the
mean
between
the
last
reported
bid
and
asked
prices
if
such
bid
and
asked
prices
are
available
on
the
relevant
markets.
An
unlisted
equity
security
that
does
not
trade
on
the
valuation
date
and
for
which
bid
and
asked
prices
from
the
relevant
markets
are
unavailable
is
valued
at
the
mean
between
the
current
bid
and
asked
prices
obtained
from
one
or
more
reputable
brokers/dealers;
(3)
certain
portfolio
securities
may
be
valued
by
an
outside
pricing
service/vendor
approved
by
the
Trust’s
Board
of
Trustees
(the
“Trustees”).
The
pricing
service/vendor
may
employ
a
pricing
model
that
takes
into
account,
among
other
things,
bids,
yield
spreads
and/or
other
market
data
and
specific
security
characteris-
tics.
If
Morgan
Stanley
Investment
Management
Inc.
(the
“Adviser”)
a
wholly-owned
subsidiary
of
Morgan
Stanley,
determines
that
the
price
provided
by
the
outside
pricing
service/vendor
or
exchange
does
not
reflect
the
security’s
fair
value
or
is
unable
to
provide
a
price,
prices
from
bro-
kers
or
dealers
may
also
be
utilized.
In
these
circumstanc-
es,
the
value
of
the
security
will
be
the
mean
of
bid
and
asked
prices
obtained
from
reputable brokers/dealers;
(4)
listed
options
are
valued
at
the
last
reported
sales
price
on
the
exchange
on
which
they
are
listed
(or
at
the
exchange
official
closing
price
if
such
exchange
reports
an
official
closing
price).
If
an
official
closing
price
or
last
reported
sales
price
is
unavailable,
the
listed
option
should
be
fair
valued
at
the
mean
between
its
latest
bid
and
ask
prices.
Unlisted
options
are
valued
at
the
mean
between
their
latest
bid
and
ask
prices
from
a
broker/dealer
or
valued
by
a
pricing
service/vendor;
(5)
futures
are
valued
at
the
settlement
price
on
the
exchange
on
which
they
trade
or,
if
a
settlement
price
is
unavailable,
at
the
last
sale
price
on
the
exchange; (6)
when
market
quotations
are
not
readily
available,
as
defined
by
Rule
2a-5
under
the
Act,
includ-
ing
circumstances
under
which
the
Adviser
determines
that
the
closing
price,
last
sale
price
or
the
mean
between
the
last
reported
bid
and
asked
prices
are
not
reflective
of
a
security’s
market
value,
portfolio
securities
are
valued
at
their
fair
value
as
determined
in
good
faith
under
pro-
cedures
established
by
and
under
the
general
supervision
of
the
Trustees;
(7)
senior loans
are
valued
using
a
price
provided
by
an
approved
valuation
vendor
and
if
a
valu-
ation
is
not
available
from
ant
of
the
approved
valuation
vendor,
then
a
quote
from
the
broker/dealer
will
be
used;
(8)
investments
in
Exchange
Traded
Funds
are
valued
at
market
price; and
(9)
investments
in
mutual
funds,
including
the
Morgan
Stanley
Institutional
Liquidity
Funds,
are
valued
at
the
net
asset
value
(“NAV”)
as
of
the
close
of
each
business
day.
In
connection
with
Rule
2a-5
of
the
Act,
the
Trust-
ees
have
designated
the
Trust's
Adviser
as
its
valuation
designee.
The
valuation
designee
has
responsibility
for
determining
fair
value
and
to
make
the
actual
calculations
pursuant
to
the
fair
valuation
methodologies
previously
approved
by
the
Trustees.
Under
procedures
approved
by
the
Trustees,
the
Trust’s
Adviser
has
formed
a
Valuation
Committee
whose
members
are
approved
by
the
Trustees.
The
Valuation
Committee
provides
administration
and
oversight
of
the
Trust’s
valuation
policies
and
procedures,
which
are
reviewed
at
least
annually
by
the
Trustees.
These
procedures
allow
the Trust
to
utilize
independent
pricing
services,
quotations
from
securities
and
financial
instrument
dealers
and
other
market
sources
to
determine
fair
value.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
2.
Fair
Value
Measurement:
Financial
Accounting
Standards
Board
(“FASB”)
ASC
820,
“Fair
Value
Mea-
surement”
(“ASC
820”),
defines
fair
value
as
the
price
that
would
be
received
to
sell
an
asset
or
paid to
transfer
a
liability
in
an orderly
transaction
between
market
par-
ticipants
at
the
measurement
date. ASC
820
establishes
a
three tier
hierarchy
to
distinguish
between
(1)
inputs
that
reflect
the
assumptions
market
participants
would
use
in
valuing
an
asset
or
liability
developed
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity
(observable
inputs);
and
(2)
inputs
that
reflect
the
reporting
entity’s
own
assumptions
about
the
assumptions
market
participants
would
use
in
valuing
an
asset
or
liability
developed
based
on
the
best
information
available
in
the
circumstances
(unobservable
inputs)
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Various
inputs
are
used
in
determin-
ing
the
value
of
the
Fund’s
investments.
The
inputs
are
summarized
in
the
three
broad
levels
listed
below:
Level
1
unadjusted
quoted
prices
in
active
markets
for
identical
investments.
Level
2
other
significant
observable
inputs
(includ-
ing
quoted
prices
for
similar
investments,
interest
rates,
prepayment
speeds,
credit
risk,
etc.)
Level
3
significant
unobservable
inputs
including
the
Fund’s
own
assumptions
in
determin-
ing
the
fair
value
of
investments.
Factors
considered
in
making
this
determination
may
include,
but
are
not
limited
to,
infor-
mation
obtained
by
contacting
the
issuer,
analysts,
or
the
appropriate
stock
exchange
(for
exchange-traded
securities),
analysis
of
the
issuer’s
financial
statements
or
other
available
documents
and,
if
necessary,
available
information
concerning
other
securities
in
similar
circumstances.
The
inputs
or
methodology
used
for
valuing
securities
are
not
necessarily
an
indication
of
the
risk
associated
with
investing
in
those
securities
and
the
determination
of
the
significance
of
a
particular
input
to
the
fair
value
mea-
surement
in
its
entirety
requires
judgment
and
considers
factors
specific
to
each
security. 
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Calvert
International
Responsible
Index
ETF
Assets:  
Common
Stocks
$104,536
(1)
$—
$—
$104,536
Warrants
 —
 —
 —
(2)
 —
(2)
Short-Term
Investments
Investment
Company
 2,454
 —
 —
 2,454
Total
Assets
$
106,990
$
$
$
106,990
(1)
The
level
classification
by
major
category
of
investments
is
the
same
as
the
category
presentation
in
the
Portfolio
of
Investments.
(2)
Includes
a
security
valued
at
zero.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Calvert
Ultra-Short
Investment
Grade
ETF
Assets:
Fixed
Income
Securities
Asset-Backed
Securities
$
$
36,252
$
$
36,252
Commercial
Mortgage-
Backed
Securities
18,532
18,532
Corporate
Bonds
117,971
117,971
U.S.
Government
and
Agency
Securities
23,192
23,192
 —
 —
 —
 —
Total
Fixed
Income
Securities
195,947
195,947
Short-Term
Investments
Investment
Company
10,906
10,906
Commercial
Paper
3,555
3,555
Total
Short-Term
Investments
10,906
3,555
14,461
Total
Assets
$10,906
$199,502
$—
$210,408
Liabilities:
Futures
Contracts
(1)
(1)
Total
$10,906
$199,502
$—
$210,408
(1)
Value
is
less
than
$500.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Calvert
US
Large-Cap
Core
Responsible
Index
ETF
Assets:  
Common
Stocks
$428,454
(1)
$—
$—
$428,454
Short-Term
Investments
Investment
Company
 5,882
 —
 —
 5,882
Total
Assets
$
434,336
$
$
$
434,336
(1)
The
level
classification
by
major
category
of
investments
is
the
same
as
the
category
presentation
in
the
Portfolio
of
Investments.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Calvert
US
Large-Cap
Diversity,
Equity
and
Inclusion
Index
ETF
Assets:  
Common
Stocks
$28,667
(1)
$—
$—
$28,667
Short-Term
Investments
Investment
Company
 228
 —
 —
 228
Total
Assets
$
28,895
$
$
$
28,895
(1)
The
level
classification
by
major
category
of
investments
is
the
same
as
the
category
presentation
in
the
Portfolio
of
Investments.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Calvert
US
Mid-Cap
Core
Responsible
Index
ETF
Assets:  
Common
Stocks
$65,065
(1)
$—
$—
$65,065
Short-Term
Investments
Investment
Company
 1,454
 —
 —
 1,454
Total
Assets
$
66,519
$
$
$
66,519
(1)
The
level
classification
by
major
category
of
investments
is
the
same
as
the
category
presentation
in
the
Portfolio
of
Investments.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Calvert
US
Select
Equity
ETF
Assets:  
Common
Stocks
$31,120
(1)
$—
$—
$31,120
Short-Term
Investments
Investment
Company
 228
 —
 —
 228
Total
Assets
$
31,348
$
$
$
31,348
(1)
The
level
classification
by
major
category
of
investments
is
the
same
as
the
category
presentation
in
the
Portfolio
of
Investments.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Eaton
Vance
Floating-Rate
ETF
Assets:
Fixed
Income
Securities
Asset-Backed
Securities
$
$
102,809
$
$
102,809
Corporate
Bonds
68,334
68,334
Variable
Rate
Senior
Loan
Interests
(Less
Unfunded
Loan
Commitments)
1,036,306
1,036,306
 —
 —
 —
 —
Total
Fixed
Income
Securities
1,207,449
1,207,449
Short-Term
Investments
Investment
Company
105,017
105,017
Total
Assets
$105,017
$1,207,449
$—
$1,312,466
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Eaton
Vance
High
Yield
ETF
Assets:
Fixed
Income
Securities
Corporate
Bonds
$
$
20,138
$
$
20,138
 —
 —
 —
 —
Short-Term
Investments
Investment
Company
2,361
2,361
Total
Assets
$2,361
$20,138
$—
$22,499
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Eaton
Vance
Intermediate
Municipal
Income
ETF
Assets:
Fixed
Income
Securities
Municipal
Bonds
$
$
40,780
$
$
40,780
 —
 —
 —
 —
Short-Term
Investments
Investment
Company
2,647
2,647
Municipal
Bonds
350
350
Total
Short-Term
Investments
2,647
350
2,997
Total
Assets
$2,647
$41,130
$—
$43,777
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Eaton
Vance
Short
Duration
Income
ETF
Assets:
Fixed
Income
Securities
Asset-Backed
Securities
$
$
51,467
$
$
51,467
Collateralized
Mortgage
Obligations
Agency
Collateral
Series
11,237
11,237
Commercial
Mortgage-
Backed
Securities
25,994
25,994
Corporate
Bonds
91,995
91,995
Sovereign
640
640
U.S.
Government
and
Agency
Securities
20,740
20,740
 —
 —
 —
 —
Total
Fixed
Income
Securities
202,073
202,073
Investment
Companies
6,633
6,633
Short-Term
Investments
Investment
Company
22,566
22,566
U.S.
Government
and
Agency
Security
1,527
1,527
Total
Short-Term
Investments
22,566
1,527
24,093
Futures
Contracts
189
189
Total
Assets
$29,388
$203,600
$—
$232,988
Liabilities:
Futures
Contracts
(
1
)
(
1
)
Total
$29,387
$203,600
$—
$232,987
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Eaton
Vance
Short
Duration
Municipal
Income
ETF
Assets:
Fixed
Income
Securities
Municipal
Bonds
$
$
181,795
$
$
181,795
 —
 —
 —
 —
Short-Term
Investments
Investment
Company
7,193
7,193
Municipal
Bonds
6,800
6,800
Total
Short-Term
Investments
7,193
6,800
13,993
Total
Assets
$7,193
$188,595
$—
$195,788
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Eaton
Vance
Total
Return
Bond
ETF
Assets:
Fixed
Income
Securities
Asset-Backed
Securities
$
$
112,040
$
$
112,040
Collateralized
Mortgage
Obligations
Agency
Collateral
Series
301,699
301,699
Commercial
Mortgage-
Backed
Securities
118,419
118,419
Corporate
Bonds
325,910
325,910
Sovereign
4,527
4,527
Supranational
1,121
1,121
U.S.
Government
and
Agency
Securities
326,715
326,715
 —
 —
 —
 —
Total
Fixed
Income
Securities
1,190,431
1,190,431
Investment
Companies
22,960
22,960
Short-Term
Investments
Investment
Company
134,088
134,088
U.S.
Government
and
Agency
Securities
67,712
67,712
Total
Short-Term
Investments
134,088
67,712
201,800
Futures
Contracts
399
399
Total
Assets
$157,447
$1,258,143
$—
$1,415,590
Liabilities:
Futures
Contracts
(
1,147
)
(
1,147
)
Total
$156,300
$1,258,143
$—
$1,414,443
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Eaton
Vance
Ultra-Short
Income
ETF
Assets:
Fixed
Income
Securities
Asset-Backed
Securities
$
$
10,980
$
$
10,980
Commercial
Mortgage-
Backed
Securities
4,461
4,461
Corporate
Bonds
74,643
74,643
U.S.
Government
and
Agency
Securities
19,566
19,566
 —
 —
 —
 —
Total
Fixed
Income
Securities
109,650
109,650
Short-Term
Investments
Investment
Company
13,409
13,409
Commercial
Paper
2,652
2,652
Total
Short-Term
Investments
13,409
2,652
16,061
Futures
Contracts
(1)
(1)
Total
Assets
$13,409
$112,302
$—
$125,711
(1)
Value
is
less
than
$500.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Parametric
Equity
Plus
ETF
Assets:  
Common
Stocks
$21,430
(1)
$—
$—
$21,430
Purchased
Options
17
68
85
Short-Term
Investment
Investment
Company
 917
 —
 —
 917
Total
Assets
$
22,364
$
68
$
$
22,432
Liabilities:
Written
Options
 (
21
)
 (
213
)
 —
 (
234
)
Total
Liabilities
$
(
21
)
$
(
213
)
$
$
(
234
)
Total
$
22,343
$
(
145
)
$
$
22,198
(1)
The
level
classification
by
major
category
of
investments
is
the
same
as
the
category
presentation
in
the
Portfolio
of
Investments.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Parametric
Equity
Premium
Income
ETF
Assets:  
Common
Stocks
$113,967
(1)
$—
$—
$113,967
Short-Term
Investments
Investment
Company
 4,191
 —
 —
 4,191
Total
Assets
$
118,158
$
$
$
118,158
Liabilities:
Written
Options
 —
 (
119
)
 —
 (
119
)
Total
Liabilities
$
$
(
119
)
$
$
(
119
)
Total
$
118,158
$
(
119
)
$
$
118,039
(1)
The
level
classification
by
major
category
of
investments
is
the
same
as
the
category
presentation
in
the
Portfolio
of
Investments.
First
Quarter
Report
December
31,
2024
(unaudited)
Notes
to
the
Portfolio
of
Investments
(cont’d)
Morgan
Stanley
ETF
Trust
The
following
is
a
summary
of
the
inputs
used
to
value
the
Fund's
investments
as
of
December
31,
2024:
Transfers
between
investment
levels
may
occur
as
the
markets
fluctuate
and/or
the
availability
of
data
used
in
an
investment’s
valuation
changes. 
Investment
Type
Level
1
Unadjusted
quoted
prices
(000)
Level
2
Other
significant
observable
inputs
(000)
Level
3
Significant
unobservable
inputs
(000)
Total
(000)
Parametric
Hedged
Equity
ETF
Assets:  
Common
Stocks
$72,893
(1)
$—
$—
$72,893
Purchased
Options
1,010
1,010
Short-Term
Investments
Investment
Company
 2,931
 —
 —
 2,931
Total
Assets
$
76,834
$
$
$
76,834
Liabilities:
Written
Options
 (
1,786
)
 —
 —
 (
1,786
)
Total
Liabilities
$
(
1,786
)
$
$
$
(
1,786
)
Total
$
75,048
$
$
$
75,048
(1)
The
level
classification
by
major
category
of
investments
is
the
same
as
the
category
presentation
in
the
Portfolio
of
Investments.