0001752724-19-177619.txt : 20191125 0001752724-19-177619.hdr.sgml : 20191125 20191125152508 ACCESSION NUMBER: 0001752724-19-177619 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20190930 FILED AS OF DATE: 20191125 PERIOD START: 20191231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MORGAN STANLEY VARIABLE INVESTMENT SERIES CENTRAL INDEX KEY: 0000716716 IRS NUMBER: 133178476 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-03692 FILM NUMBER: 191245805 BUSINESS ADDRESS: STREET 1: 522 FIFTH AVENUE CITY: NEW YORK STATE: NY ZIP: 10036 BUSINESS PHONE: 800-869-6397 MAIL ADDRESS: STREET 1: 522 FIFTH AVENUE CITY: NEW YORK STATE: NY ZIP: 10036 FORMER COMPANY: FORMER CONFORMED NAME: MORGAN STANLEY DEAN WITTER VARIABLE INVESTMENT SERIES DATE OF NAME CHANGE: 19980622 FORMER COMPANY: FORMER CONFORMED NAME: DEAN WITTER VARIABLE INVESTMENT SERIES DATE OF NAME CHANGE: 19930209 FORMER 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XXXX N N N Bank of America Corp 9DJT3UXIJIZJI4WXO774 Bank of America Corp 59023VAA8 205000.00000000 PA USD 312814.42000000 0.391427098806 Long DBT CORP US N 2 2038-05-14 Fixed 7.75000000 N N N N N N KILROY REALTY LP 5493008CT3N3JR7P1552 Kilroy Realty LP 49427RAP7 225000.00000000 PA USD 220692.26000000 0.276153928776 Long DBT US N 2 2030-02-15 Fixed 3.05000000 N N N N N N John Deere Capital Corp E0KSF7PFQ210NWI8Z391 John Deere Capital Corp 24422EUU1 375000.00000000 PA USD 406026.90000000 0.508064594670 Long DBT CORP US N 2 2029-03-07 Fixed 3.45000000 N N N N N N Virginia Electric & Power Co CQKUMNNZVDJLRYV2PT43 Virginia Electric & Power Co 927804FT6 475000.00000000 PA USD 542539.47000000 0.678883827447 Long DBT CORP US N 2 2045-05-15 Fixed 4.20000000 N N N N N N Enstar Group Ltd 213800AMAL5QFXVUCN04 Enstar Group Ltd 29359UAB5 425000.00000000 PA USD 449541.93000000 0.562515287664 Long DBT CORP BM N 2 2029-06-01 Fixed 4.95000000 N N N N N N Capital One Financial Corp ZUE8T73ROZOF6FLBAR73 Capital One Financial Corp 14040HBT1 275000.00000000 PA USD 284817.58000000 0.356394436767 Long DBT CORP US N 2 2024-10-30 Fixed 3.30000000 N N N N N N Oglethorpe Power Corp 3EERXCUSWMS9GV5D9M98 Oglethorpe Power Corp 677050AN6 225000.00000000 PA USD 272621.14000000 0.341132937233 Long DBT CORP US N 2 2048-10-01 Fixed 5.05000000 N N N N N N Fiserv Inc GI7UBEJLXYLGR2C7GV83 Fiserv Inc 337738AR9 200000.00000000 PA USD 221419.92000000 0.277064455352 Long DBT CORP US N 2 2028-10-01 Fixed 4.20000000 N N N N N N Fox Corp N/A Fox Corp 35137LAE5 250000.00000000 PA USD 316788.97000000 0.396400483906 Long DBT CORP US N 2 2049-01-25 Fixed 5.58000000 N N N N N N Consorcio Transmantaro SA 549300NL65DC6HVEJX96 Consorcio Transmantaro SA 210314AB6 200000.00000000 PA USD 218000.00000000 0.272785083052 Long DBT CORP PE N 2 2034-04-16 Fixed 4.70000000 N N N N N N Delta Air Lines Inc Q2CCMS6R0AS67HJMBN42 Delta Air Lines Inc 247361ZJ0 475000.00000000 PA USD 488215.89000000 0.610908312391 Long DBT CORP US N 2 2022-03-15 Fixed 3.63000000 N N N N N N Verizon Communications Inc 2S72QS2UO2OESLG6Y829 Verizon Communications Inc 92343VCZ5 203000.00000000 PA USD 243868.29000000 0.305154274044 Long DBT CORP US N 2 2055-03-15 Fixed 4.67000000 N N N N N N Ashtead Capital Inc 213800J1134IW58IC398 Ashtead Capital Inc 045054AH6 200000.00000000 PA USD 213250.00000000 0.266841371380 Long DBT CORP US N 2 2026-08-01 Fixed 5.25000000 N N N N N N VODAFONE GROUP PLC 213800TB53ELEUKM7Q61 Vodafone Group PLC 92857WBT6 175000.00000000 PA USD 201333.94000000 0.251930713505 Long DBT CORP GB N 2 2059-06-19 Fixed 5.13000000 N N N N N N Bayer US Finance II LLC 529900XWNEXYNJ3X6T40 Bayer US Finance II LLC 07274NAN3 200000.00000000 PA USD 216739.54000000 0.271207859723 Long DBT CORP US N 2 2038-06-25 Fixed 4.63000000 N N N N N N Nvent Finance Sarl 549300KO1OQ4MVFB6X02 Nvent Finance Sarl 67078AAC7 425000.00000000 PA USD 433348.79000000 0.542252686564 Long DBT CORP LU N 2 2023-04-15 Fixed 3.95000000 N N N N N N POSCO 988400E5HRVX81AYLM04 POSCO 693483AD1 200000.00000000 PA USD 210343.81000000 0.263204833396 Long DBT CORP KR N 2 2023-08-01 Fixed 4.00000000 N N N N N N Verizon Communications Inc 2S72QS2UO2OESLG6Y829 Verizon Communications Inc 92343VCV4 375000.00000000 PA USD 422325.01000000 0.528458545542 Long DBT CORP US N 2 2036-01-15 Fixed 4.27000000 N N N N N N Walt Disney Co/The 549300GZKULIZ0WOW665 Walt Disney Co/The 254687EU6 225000.00000000 PA USD 291875.87000000 0.365226529537 Long DBT CORP US N 2 2044-09-15 Fixed 4.75000000 N N N N N N AT&T INC 549300Z40J86GGSTL398 AT&T Inc 00206RHW5 400000.00000000 PA USD 423994.56000000 0.530547666346 Long DBT CORP US N 2 2027-02-15 Fixed 3.80000000 N N N N N N MDC-GMTN B.V. 213800L53ZH5KG593W13 MDC-GMTN BV 55276VAG7 200000.00000000 PA USD 230858.00000000 0.288874397722 Long DBT CORP NL N 2 2028-11-07 Fixed 4.50000000 N N N N N N GLP CAPITAL LP / FIN II 5493006GWRDBCZYWTM57 GLP Capital LP / GLP Financing II Inc 361841AP4 200000.00000000 PA USD 201994.00000000 0.252756651679 Long DBT US N 2 2030-01-15 Fixed 4.00000000 N N N N N N Vodafone Group PLC 213800TB53ELEUKM7Q61 Vodafone Group PLC 92857WBD1 200000.00000000 PA USD 207035.23000000 0.259064781699 Long DBT CORP GB N 2 2043-02-19 Fixed 4.38000000 N N N N N N Walmart Inc Y87794H0US1R65VBXU25 Walmart Inc 931142DW0 200000.00000000 PA USD 225008.77000000 0.281555211064 Long DBT CORP US N 2 2047-12-15 Fixed 3.63000000 N N N N N N Energy Transfer Partners LP MTLVN9N7JE8MIBIJ1H73 Energy Transfer Partners LP 29273RBF5 50000.00000000 PA USD 52562.24000000 0.065771536714 Long DBT CORP US N 2 2045-03-15 Fixed 5.15000000 N N N N N N Nationwide Building Society 549300XFX12G42QIKN82 Nationwide Building Society 63861VAC1 425000.00000000 PA USD 446585.94000000 0.558816434555 Long DBT CORP GB N 2 2024-08-01 Variable 4.36000000 N N N N N N Baidu Inc 254900AL64IANZYI1E02 Baidu Inc 056752AH1 220000.00000000 PA USD 221395.58000000 0.277033998522 Long DBT CORP KY N 2 2022-07-06 Fixed 2.88000000 N N N N N N Brookfield Finance Inc C6J3FGIWG6MBDGTE8F80 Brookfield Finance Inc 11271LAD4 100000.00000000 PA USD 113268.63000000 0.141733911201 Long DBT CORP CA N 2 2029-03-29 Fixed 4.85000000 N N N N N N Morgan Stanley & Co. LLC 549300BI6Y5SI6BYPB26 Morgan Stanley Institutional Liquidity Funds - Government Portfolio 61747C707 551203.54000000 NS USD 551203.54000000 0.689725245128 Long STIV RF US N 1 N N N Home Depot Inc/The QEKMOTMBBKA8I816DO57 Home Depot Inc/The 437076AS1 175000.00000000 PA USD 242318.85000000 0.303215447809 Long DBT CORP US N 2 2036-12-16 Fixed 5.88000000 N N N N N N HSBC Holdings PLC MLU0ZO3ML4LN2LL2TL39 HSBC Holdings PLC 404280BH1 250000.00000000 PA USD 267681.38000000 0.334951777408 Long DBT CORP GB N 2 2026-11-23 Fixed 4.38000000 N N N N N N SHERWIN-WILLIAMS CO Z15BMIOX8DDH0X2OBP21 Sherwin-Williams Co/The 824348BJ4 425000.00000000 PA USD 426690.74000000 0.533921417196 Long DBT CORP US N 2 2029-08-15 Fixed 2.95000000 N N N N N N STMicroelectronics NV 213800Z8NOHIKRI42W10 STMicroelectronics NV 000000000 200000.00000000 PA USD 239788.00000000 0.300048575665 Long DBT CORP NL Y 2 2024-07-03 Fixed 0.25000000 N N N N Y Stabilus SA Stabilus SA USD XXXX N N N Booking Holdings Inc FXM8FAOHMYDIPD38UZ17 Booking Holdings Inc 741503AX4 150000.00000000 PA USD 174302.47000000 0.218106026400 Long DBT CORP US N 2 2021-09-15 Fixed 0.90000000 N N N N Y Booking Holdings Inc Booking Holdings Inc USD XXXX N N N International Business Machines Corp VGRQXHF3J8VDLUA7XE92 International Business Machines Corp 459200JZ5 850000.00000000 PA USD 897063.27000000 1.122502195461 Long DBT CORP US N 2 2026-05-15 Fixed 3.30000000 N N N N N N Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc 549300CRGMZK3K53BF92 Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc 03522AAJ9 775000.00000000 PA USD 926194.56000000 1.158954403544 Long DBT CORP US N 2 2046-02-01 Fixed 4.90000000 N N N N N N Boston Properties LP BVHHEFJI6SHNOKQT2572 Boston Properties LP 10112RAX2 400000.00000000 PA USD 423626.04000000 0.530086534425 Long DBT US N 2 2026-02-01 Fixed 3.65000000 N N N N N N Wells Fargo & Co PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co 949746SH5 250000.00000000 PA USD 256975.18000000 0.321555026691 Long DBT CORP US N 2 2026-10-23 Fixed 3.00000000 N N N N N N AT&T Inc 549300Z40J86GGSTL398 AT&T Inc 00206RHG0 100000.00000000 PA 118363.70000000 0.148109411628 Long DBT CORP US N 2 2026-09-05 Fixed 1.80000000 N N N N N N NOVA Chemicals Corp 5493007M1XGU5E55ZJ25 NOVA Chemicals Corp 66977WAQ2 200000.00000000 PA USD 206420.00000000 0.258294939650 Long DBT CORP CA N 2 2024-06-01 Fixed 4.88000000 N N N N N N NextEra Energy Capital Holdings Inc UMI46YPGBLUE4VGNNT48 NextEra Energy Capital Holdings Inc 65339KAT7 450000.00000000 PA USD 477356.93000000 0.597320411908 Long DBT CORP US N 2 2027-05-01 Fixed 3.55000000 N N N N N N Chicago Board Of Trade 549300EX04Q2QBFQTQ27 US ULTRA BOND CBT DEC19 XCBT 20191219 000000000 -1.00000000 NC USD -191906.25000000 -0.24013377222 N/A DIR US N 1 Chicago Board Of Trade 549300EX04Q2QBFQTQ27 Short US Treasury Ultra Long Bond WNZ9 Comdty 2019-12-19 -191093.75000000 USD -812.50000000 N N N Lloyds Banking Group PLC 549300PPXHEU2JF0AM85 Lloyds Banking Group PLC 539439AQ2 275000.00000000 PA USD 280856.58000000 0.351438006886 Long DBT CORP GB N 2 2028-11-07 Variable 3.57000000 N N N N N N Cimarex Energy Co 11KYOFXPU1C4CQL1CL44 Cimarex Energy Co 171798AE1 200000.00000000 PA USD 210656.38000000 0.263595954651 Long DBT CORP US N 2 2029-03-15 Fixed 4.38000000 N N N N N N Saudi Arabian Oil Co 5586006WD91QHB7J4X50 Saudi Arabian Oil Co 80414L2D6 325000.00000000 PA USD 339408.16000000 0.424704050983 Long DBT CORP SA N 2 2029-04-16 Fixed 3.50000000 N N N N N N Eurex Deutschland 529900LN3S50JPU47S06 EURO-BUND FUTURE DEC19 XEUR 20191206 000000000 -1.00000000 NC -189923.85000000 -0.23765317979 N/A DIR DE N 1 Eurex Deutschland 529900LN3S50JPU47S06 Short Euro-Bund (FGBL) RXZ9 Comdty 2019-12-06 -176075.00000000 EUR 1989.16000000 N N N Glencore Funding LLC 213800STG1QDNBY87K49 Glencore Funding LLC 378272AQ1 200000.00000000 PA USD 205070.00000000 0.256605674227 Long DBT CORP US N 2 2027-10-27 Fixed 3.88000000 N N N N N N BAT Capital Corp 2138005GYEXN7XRHFA84 BAT Capital Corp 05526DBB0 200000.00000000 PA USD 201636.30000000 0.252309058908 Long DBT CORP US N 2 2027-08-15 Fixed 3.56000000 N N N N N N BP Capital Markets America Inc 5493009NTB34VXE1T760 BP Capital Markets America Inc 10373QAT7 500000.00000000 PA USD 521720.37000000 0.652832726884 Long DBT CORP US N 2 2026-05-04 Fixed 3.12000000 N N N N N N KIMCO REALTY CORP 549300EA7I6T15IBYS12 Kimco Realty Corp 49446RAV1 175000.00000000 PA USD 171695.26000000 0.214843604398 Long DBT US N 2 2049-10-01 Fixed 3.70000000 N N N N N N Goldman Sachs Group Inc/The 784F5XWPLTWKTBV3E584 Goldman Sachs Group Inc/The 38141GFD1 300000.00000000 PA USD 405478.75000000 0.507378690343 Long DBT CORP US N 2 2037-10-01 Fixed 6.75000000 N N N N N N Cimarex Energy Co 11KYOFXPU1C4CQL1CL44 Cimarex Energy Co 171798AD3 250000.00000000 PA USD 254752.05000000 0.318773206959 Long DBT CORP US N 2 2027-05-15 Fixed 3.90000000 N N N N N N Marsh & McLennan Companies Inc 549300XMP3KDCKJXIU47 Marsh & McLennan Cos Inc 571748BF8 325000.00000000 PA USD 346313.28000000 0.433344480950 Long DBT CORP US N 2 2024-03-15 Fixed 3.88000000 N N N N N N AT&T Inc 549300Z40J86GGSTL398 AT&T Inc 00206RDJ8 251000.00000000 PA USD 270423.44000000 0.338382938256 Long DBT CORP US N 2 2048-03-09 Fixed 4.50000000 N N N N N N Sprint Spectrum Co LLC / Sprint Spectrum Co II LLC / Sprint Spectrum Co III LLC N/A Sprint Spectrum Co LLC / Sprint Spectrum Co II LLC / Sprint Spectrum Co III LLC 85208NAD2 200000.00000000 PA USD 213102.00000000 0.266656177838 Long DBT CORP US N 2 2025-03-20 Fixed 4.74000000 N N N N N N DELTA AIR LINES 2019-1AA N/A Delta Air Lines 2019-1 Class AA Pass Through Trust 24737BAA3 200000.00000000 PA USD 209170.40000000 0.261736536404 Long DBT CORP US N 2 2024-04-25 Fixed 3.20000000 N N N N N N Deutsche Bank AG/New York NY 7LTWFZYICNSX8D621K86 Deutsche Bank AG/New York NY 251526BP3 225000.00000000 PA USD 224907.91000000 0.281429004167 Long DBT CORP DE N 2 2021-01-22 Fixed 3.15000000 N N N N N N Goldman Sachs Group Inc/The 784F5XWPLTWKTBV3E584 Goldman Sachs Group Inc/The 38141GWZ3 175000.00000000 PA USD 191180.56000000 0.239225710723 Long DBT CORP US N 2 2029-05-01 Variable 4.22000000 N N N N N N Alimentation Couche-Tard Inc 549300OSW32RVX8CCZ87 Alimentation Couche-Tard Inc 01626PAH9 275000.00000000 PA USD 286122.84000000 0.358027718682 Long DBT CORP CA N 2 2027-07-26 Fixed 3.55000000 N N N N N N Comcast Corp 51M0QTTNCGUN7KFCFZ59 Comcast Corp 20030NCG4 600000.00000000 PA USD 670255.46000000 0.838695831755 Long DBT CORP US N 2 2052-11-01 Fixed 4.05000000 N N N N N N Resorts World Las Vegas LLC / RWLV Capital Inc N/A Resorts World Las Vegas LLC / RWLV Capital Inc 76120HAA5 400000.00000000 PA USD 420647.93000000 0.526360002390 Long DBT CORP US N 2 2029-04-16 Fixed 4.63000000 N N N N N N Deutsche Bank AG/New York NY 7LTWFZYICNSX8D621K86 Deutsche Bank AG/New York NY 251525AT8 450000.00000000 PA USD 449151.21000000 0.562026376711 Long DBT CORP DE N 2 2020-07-13 Fixed 2.70000000 N N N N N N Ashtead Capital Inc 213800J1134IW58IC398 Ashtead Capital Inc 045054AD5 300000.00000000 PA USD 306750.00000000 0.383838643240 Long DBT CORP US N 2 2025-08-15 Fixed 4.13000000 N N N N N N Santander UK Group Holdings PLC 549300F5XIFGNNW4CF72 Santander UK Group Holdings PLC 80281LAJ4 300000.00000000 PA USD 321546.10000000 0.402353117402 Long DBT CORP GB N 2 2024-11-15 Variable 4.80000000 N N N N N N Ford Motor Credit Co LLC UDSQCVRUX5BONN0VY111 Ford Motor Credit Co LLC 345397XZ1 300000.00000000 PA USD 294701.43000000 0.368762174579 Long DBT CORP US N 2 2023-05-04 Fixed 3.10000000 N N N N N N Aviation Capital Group LLC 549300ODEK8HY3445C77 Aviation Capital Group LLC 05369AAF8 325000.00000000 PA USD 342458.60000000 0.428521090106 Long DBT CORP US N 2 2024-01-30 Fixed 4.38000000 N N N N N N Starbucks Corp OQSJ1DU9TAOC51A47K68 Starbucks Corp 855244AU3 200000.00000000 PA USD 232092.99000000 0.290419750243 Long DBT CORP US N 2 2049-08-15 Fixed 4.45000000 N N N N N N AT&T Inc 549300Z40J86GGSTL398 AT&T Inc 00206RFW7 350000.00000000 PA USD 397579.97000000 0.497494885947 Long DBT CORP US N 2 2037-08-15 Fixed 4.90000000 N N N N N N 2019-10-30 MORGAN STANLEY VARIABLE INVESTMENT SERIES Francis Smith Francis Smith Principal Financial Officer XXXX NPORT-EX 2 VIS__20564-1-DZ.1-8280178.htm

 

Morgan Stanley Variable Investment Series - Income Plus Portfolio

Portfolio of Investments · September 30, 2019 (unaudited)

 

PRINCIPAL
AMOUNT
(000)

 

 

 

COUPON
RATE

 

MATURITY
DATE

 

VALUE

 

 

 

Corporate Bonds (98.3%)

 

 

 

 

 

 

 

 

 

Basic Materials (4.4%)

 

 

 

 

 

 

 

$

275

 

Celanese US Holdings LLC

 

3.50

%

05/08/24

 

$

285,308

 

125

 

Dow Chemical Co. (The) (a)

 

5.55

 

11/30/48

 

151,842

 

200

 

Eldorado Gold Corp. (Canada) (a)

 

9.50

 

06/01/24

 

217,000

 

200

 

Glencore Funding LLC (Switzerland) (a)

 

3.875

 

10/27/27

 

205,070

 

225

 

Glencore Funding LLC (Switzerland) (a)

 

4.125

 

03/12/24

 

236,170

 

75

 

LYB International Finance III LLC (b)

 

4.20

 

10/15/49

 

74,616

 

500

 

Newcastle Coal Infrastructure Group Pty Ltd. (Australia) (a)

 

4.40

 

09/29/27

 

498,848

 

175

 

Newmont Goldcorp Corp.

 

5.45

 

06/09/44

 

219,396

 

200

 

NOVA Chemicals Corp. (Canada) (a)

 

4.875

 

06/01/24

 

206,420

 

150

 

Nucor Corp.

 

3.95

 

05/01/28

 

163,816

 

200

 

POSCO (Korea, Republic of) (a)

 

4.00

 

08/01/23

 

210,344

 

425

 

Sherwin-Williams Co. (The)

 

2.95

 

08/15/29

 

426,691

 

315

 

Southern Copper Corp. (Mexico)

 

7.50

 

07/27/35

 

422,887

 

175

 

Westlake Chemical Corp.

 

4.375

 

11/15/47

 

172,302

 

 

 

 

 

 

 

 

 

3,490,710

 

 

 

Communications (9.0%)

 

 

 

 

 

 

 

300

 

Amazon.com, Inc.

 

4.25

 

08/22/57

 

373,502

 

EUR

100

 

AT&T, Inc.

 

1.80

 

09/05/26

 

118,364

 

$

400

 

AT&T, Inc.

 

3.80

 

02/15/27

 

423,995

 

251

 

AT&T, Inc.

 

4.50

 

03/09/48

 

270,423

 

350

 

AT&T, Inc.

 

4.90

 

08/15/37

 

397,580

 

275

 

AT&T, Inc.

 

5.15

 

02/15/50

 

322,755

 

220

 

Baidu, Inc. (China)

 

2.875

 

07/06/22

 

221,396

 

150

 

Booking Holdings, Inc.

 

0.90

 

09/15/21

 

174,303

 

425

 

Charter Communications Operating LLC/Charter Communications Operating Capital

 

4.20

 

03/15/28

 

447,344

 

150

 

Charter Communications Operating LLC/Charter Communications Operating Capital

 

6.484

 

10/23/45

 

182,785

 

225

 

Comcast Corp.

 

3.55

 

05/01/28

 

241,908

 

600

 

Comcast Corp.

 

4.049

 

11/01/52

 

670,255

 

200

 

Comcast Corp.

 

4.15

 

10/15/28

 

224,529

 

250

 

Fox Corp. (a)

 

5.576

 

01/25/49

 

316,789

 

300

 

Sprint Spectrum Co., LLC/Sprint Spectrum Co., II LLC/Sprint Spectrum Co., III LLC (a)

 

3.36

 

03/20/23

 

301,875

 

200

 

Sprint Spectrum Co., LLC/Sprint Spectrum Co., II LLC/Sprint Spectrum Co., III LLC (a)

 

4.738

 

09/20/29

 

213,102

 

175

 

Telefonica Emisiones SA (Spain)

 

4.103

 

03/08/27

 

190,604

 

330

 

Telefonica Europe BV (Spain)

 

8.25

 

09/15/30

 

479,709

 

375

 

Tencent Holdings Ltd. (China) (a)

 

3.595

 

01/19/28

 

391,827

 

375

 

Verizon Communications, Inc.

 

4.272

 

01/15/36

 

422,325

 

203

 

Verizon Communications, Inc.

 

4.672

 

03/15/55

 

243,868

 

200

 

Vodafone Group PLC (United Kingdom)

 

4.375

 

02/19/43

 

207,035

 

175

 

Vodafone Group PLC (United Kingdom)

 

5.125

 

06/19/59

 

201,334

 

148

 

Zillow Group, Inc.

 

2.00

 

12/01/21

 

147,075

 

 

 

 

 

 

 

 

 

7,184,682

 

 

 

Consumer Discretionary (0.8%)

 

 

 

 

 

 

 

550

 

Sands China Ltd. (Macau)

 

5.40

 

08/08/28

 

620,829

 

 

 

Consumer Staples (0.3%)

 

 

 

 

 

 

 

175

 

Altria Group, Inc.

 

5.95

 

02/14/49

 

206,083

 

 

 

Consumer, Cyclical (9.5%)

 

 

 

 

 

 

 

275

 

Alimentation Couche-Tard, Inc. (Canada) (a)

 

3.55

 

07/26/27

 

286,123

 

248

 

American Airlines Pass-Through Trust

 

4.00

 

01/15/27

 

261,181

 

525

 

American Airlines Pass-Through Trust, Series AA

 

3.15

 

08/15/33

 

541,238

 

 


 

477

 

British Airways Pass-Through Trust (United Kingdom) (a)

 

4.625

 

12/20/25

 

506,398

 

325

 

CVS Health Corp.

 

4.30

 

03/25/28

 

351,728

 

525

 

CVS Health Corp.

 

4.78

 

03/25/38

 

575,891

 

200

 

Daimler Finance North America LLC (Germany) (a)

 

2.70

 

06/14/24

 

200,838

 

200

 

Daimler Finance North America LLC (Germany) (a)

 

3.10

 

08/15/29

 

202,535

 

475

 

Delta Air Lines, Inc.

 

3.625

 

03/15/22

 

488,216

 

200

 

Delta Air Lines, Inc., Series AA

 

3.204

 

10/25/25

 

209,170

 

525

 

Dollar Tree, Inc.

 

4.00

 

05/15/25

 

556,713

 

110

 

Dollar Tree, Inc.

 

4.20

 

05/15/28

 

118,298

 

300

 

Ferguson Finance PLC (United Kingdom) (a)

 

4.50

 

10/24/28

 

321,718

 

300

 

Ford Motor Credit Co., LLC

 

3.096

 

05/04/23

 

294,701

 

300

 

General Motors Co.

 

6.60

 

04/01/36

 

344,233

 

75

 

Home Depot, Inc. (The)

 

4.875

 

02/15/44

 

96,817

 

175

 

Home Depot, Inc. (The)

 

5.875

 

12/16/36

 

242,319

 

75

 

Kohl’s Corp.

 

5.55

 

07/17/45

 

77,257

 

150

 

Las Vegas Sands Corp.

 

3.20

 

08/08/24

 

152,948

 

150

 

Macy’s Retail Holdings, Inc.

 

2.875

 

02/15/23

 

148,384

 

 

Newell Brands, Inc.

 

3.85

 

04/01/23

 

0

 

150

 

Newell Brands, Inc.

 

4.20

 

04/01/26

 

157,065

 

400

 

Resorts World Las Vegas LLC/RWLV Capital, Inc. (Malaysia) (a)

4.625

 

04/16/29

 

420,648

 

200

 

Starbucks Corp.

 

4.45

 

08/15/49

 

232,093

 

207

 

United Airlines Pass-Through Trust, Class A

 

4.30

 

02/15/27

 

224,058

 

275

 

Volkswagen Group of America Finance LLC (Germany) (a)

 

4.75

 

11/13/28

 

306,188

 

200

 

Walmart, Inc.

 

3.625

 

12/15/47

 

225,009

 

 

 

 

 

 

 

 

 

7,541,767

 

 

 

Consumer, Non-Cyclical (10.3%)

 

 

 

 

 

 

 

775

 

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium)

 

4.90

 

02/01/46

 

926,195

 

150

 

Anthem, Inc.

 

2.375

 

01/15/25

 

149,619

 

300

 

Ashtead Capital, Inc. (United Kingdom) (a)

 

4.125

 

08/15/25

 

306,750

 

200

 

Ashtead Capital, Inc. (United Kingdom) (a)

 

5.25

 

08/01/26

 

213,250

 

200

 

BAT Capital Corp. (United Kingdom)

 

3.557

 

08/15/27

 

201,636

 

175

 

BAT Capital Corp. (United Kingdom)

 

4.54

 

08/15/47

 

168,052

 

200

 

Bayer US Finance II LLC (Germany) (a)

 

4.625

 

06/25/38

 

216,740

 

325

 

Bristol-Myers Squibb Co. (a)

 

4.25

 

10/26/49

 

377,935

 

224

 

Cigna Corp.

 

4.375

 

10/15/28

 

245,209

 

150

 

Cigna Corp.

 

4.90

 

12/15/48

 

172,310

 

100

 

Cigna Holding Co.

 

3.875

 

10/15/47

 

99,080

 

75

 

Conagra Brands, Inc.

 

5.40

 

11/01/48

 

89,115

 

275

 

Constellation Brands, Inc.

 

4.40

 

11/15/25

 

304,269

 

100

 

CVS Health Corp.

 

5.05

 

03/25/48

 

113,672

 

625

 

Diageo Capital PLC Co. (United Kingdom)

 

2.125

 

10/24/24

 

624,819

 

125

 

Diamond Sports Group LLC/Diamond Sports Finance Co. (a)

 

6.625

 

08/15/27

 

130,000

 

225

 

DP World PLC (United Arab Emirates) (a)

 

5.625

 

09/25/48

 

260,968

 

312

 

EMD Finance LLC (Germany) (a)

 

3.25

 

03/19/25

 

319,384

 

270

 

Fresenius Medical Care US Finance III, Inc. (a)

 

3.75

 

06/15/29

 

272,123

 

225

 

Gilead Sciences, Inc.

 

4.80

 

04/01/44

 

269,477

 

275

 

Grupo Bimbo SAB de CV (Mexico) (a)

 

3.875

 

06/27/24

 

286,107

 

150

 

HCA, Inc.

 

5.25

 

06/15/49

 

164,261

 

250

 

Humana, Inc.

 

3.95

 

03/15/27

 

265,564

 

500

 

Imperial Brands Finance PLC (United Kingdom) (a)

 

3.125

 

07/26/24

 

501,557

 

130

 

Kraft Heinz Foods Co. (a)

 

3.75

 

04/01/30

 

131,325

 

200

 

Mars, Inc. (a)

 

3.20

 

04/01/30

 

211,767

 

29

 

Medtronic, Inc.

 

4.625

 

03/15/45

 

37,280

 

300

 

Mondelez International Holdings Netherlands BV (a)

 

2.25

 

09/19/24

 

298,901

 

150

 

Novartis Capital Corp. (Switzerland)

 

4.40

 

05/06/44

 

185,816

 

525

 

Smithfield Foods, Inc. (a)

 

5.20

 

04/01/29

 

578,192

 

 


 

75

 

Teva Pharmaceutical Finance Netherlands III BV (Israel)

 

2.80

 

07/21/23

 

60,750

 

 

 

 

 

 

 

 

 

8,182,123

 

 

 

Energy (8.9%)

 

 

 

 

 

 

 

200

 

APT Pipelines Ltd. (Australia) (a)

 

4.20

 

03/23/25

 

211,915

 

200

 

BG Energy Capital PLC (United Kingdom) (a)

 

5.125

 

10/15/41

 

257,226

 

500

 

BP Capital Markets America, Inc.

 

3.119

 

05/04/26

 

521,720

 

250

 

Cimarex Energy Co.

 

3.90

 

05/15/27

 

254,752

 

200

 

Cimarex Energy Co.

 

4.375

 

03/15/29

 

210,657

 

375

 

Concho Resources, Inc.

 

3.75

 

10/01/27

 

390,088

 

100

 

Concho Resources, Inc.

 

4.85

 

08/15/48

 

114,752

 

50

 

Energy Transfer Operating L.P.

 

5.15

 

03/15/45

 

52,562

 

200

 

Energy Transfer Operating L.P.

 

5.30

 

04/15/47

 

215,480

 

250

 

Enterprise Products Operating LLC

 

4.20

 

01/31/50

 

268,529

 

250

 

Exxon Mobil Corp.

 

4.114

 

03/01/46

 

296,365

 

125

 

Halliburton Co.

 

5.00

 

11/15/45

 

139,797

 

175

 

Hilcorp Energy I LP/Hilcorp Finance Co. (a)

 

6.25

 

11/01/28

 

163,625

 

200

 

Kinder Morgan, Inc.

 

5.55

 

06/01/45

 

236,083

 

450

 

Marathon Petroleum Corp.

 

4.75

 

12/15/23

 

488,423

 

250

 

Midwest Connector Capital Co. LLC (a)

 

3.625

 

04/01/22

 

256,539

 

175

 

MPLX L.P. (a)

 

5.20

 

12/01/47

 

191,544

 

325

 

MPLX LP

 

4.00

 

02/15/25

 

343,600

 

100

 

Noble Energy, Inc.

 

4.95

 

08/15/47

 

109,308

 

325

 

Occidental Petroleum Corp.

 

3.50

 

08/15/29

 

329,883

 

200

 

Patterson-UTI Energy, Inc.

 

3.95

 

02/01/28

 

201,642

 

350

 

Rockies Express Pipeline LLC (a)

 

6.875

 

04/15/40

 

382,655

 

650

 

Santos Finance Ltd. (Australia)

 

4.125

 

09/14/27

 

661,317

 

325

 

Saudi Arabian Oil Co. (Saudi Arabia) (a)

 

3.50

 

04/16/29

 

339,408

 

200

 

Transportadora de Gas Internacional SA ESP (Colombia) (a)

 

5.55

 

11/01/28

 

231,252

 

225

 

Williams Cos., Inc. (The)

 

4.30

 

03/04/24

 

239,306

 

 

 

 

 

 

 

 

 

7,108,428

 

 

 

Finance (35.3%)

 

 

 

 

 

 

 

150

 

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)

 

3.50

 

05/26/22

 

153,876

 

350

 

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)

 

4.125

 

07/03/23

 

367,338

 

400

 

Air Lease Corp.

 

3.75

 

06/01/26

 

415,866

 

250

 

American International Group, Inc.

 

4.25

 

03/15/29

 

274,108

 

175

 

American International Group, Inc.

 

4.50

 

07/16/44

 

195,274

 

175

 

Banco de Credito del Peru (Peru) (a)

 

2.70

 

01/11/25

 

175,219

 

150

 

Bank of America Corp.

 

3.974

 

02/07/30

 

164,051

 

625

 

Bank of America Corp.

 

4.244

 

04/24/38

 

715,147

 

205

 

Bank of America Corp.

 

7.75

 

05/14/38

 

312,814

 

400

 

Bank of America Corp., MTN

 

4.25

 

10/22/26

 

432,252

 

400

 

BBVA USA

 

2.50

 

08/27/24

 

397,811

 

275

 

BNP Paribas SA (France) (a)

 

4.40

 

08/14/28

 

304,028

 

400

 

Boston Properties LP

 

3.65

 

02/01/26

 

423,626

 

250

 

BPCE SA (France) (a)

 

4.00

 

09/12/23

 

263,839

 

400

 

BPCE SA (France) (a)

 

5.15

 

07/21/24

 

438,284

 

50

 

Brighthouse Financial, Inc.

 

4.70

 

06/22/47

 

44,694

 

215

 

Brighthouse Financial, Inc., Series WI

 

3.70

 

06/22/27

 

212,513

 

400

 

Brookfield Finance, Inc. (Canada)

 

4.25

 

06/02/26

 

426,285

 

100

 

Brookfield Finance, Inc. (Canada)

 

4.85

 

03/29/29

 

113,269

 

275

 

Capital One Financial Corp.

 

3.30

 

10/30/24

 

284,818

 

625

 

Capital One Financial Corp.

 

3.75

 

03/09/27

 

656,629

 

250

 

CIT Bank NA

 

2.969

 

09/27/25

 

250,394

 

725

 

Citigroup, Inc.

 

3.98

 

03/20/30

 

788,966

 

425

 

Citigroup, Inc.

 

4.45

 

09/29/27

 

464,099

 

155

 

CNO Financial Group, Inc.

 

5.25

 

05/30/29

 

170,112

 

200

 

Commerzbank AG (Germany) (a)

 

8.125

 

09/19/23

 

233,355

 

575

 

Credit Agricole SA (France) (a)

 

3.75

 

04/24/23

 

601,343

 

 


 

250

 

Credit Agricole SA (France) (a)

 

4.125

 

01/10/27

 

271,273

 

550

 

Credit Suisse Group AG (Switzerland) (a)

 

2.593

 

09/11/25

 

544,932

 

250

 

Credit Suisse Group AG (Switzerland) (a)

 

3.574

 

01/09/23

 

255,755

 

200

 

Danske Bank A/S (Denmark) (a)

 

3.001

 

09/20/22

 

200,790

 

200

 

Danske Bank A/S (Denmark) (a)

 

5.00

 

01/12/22

 

210,340

 

450

 

Deutsche Bank AG (Germany)

 

2.70

 

07/13/20

 

449,151

 

225

 

Deutsche Bank AG (Germany)

 

3.15

 

01/22/21

 

224,908

 

300

 

Discover Financial Services

 

3.95

 

11/06/24

 

318,532

 

425

 

Enstar Group Ltd. (Bermuda)

 

4.95

 

06/01/29

 

449,542

 

700

 

GE Capital International Funding Co., Unlimited Co.

 

4.418

 

11/15/35

 

733,794

 

200

 

GLP Capital LP/GLP Financing II, Inc.

 

4.00

 

01/15/30

 

201,994

 

175

 

Goldman Sachs Group, Inc. (The)

 

4.223

 

05/01/29

 

191,181

 

375

 

Goldman Sachs Group, Inc. (The)

 

6.25

 

02/01/41

 

518,530

 

300

 

Goldman Sachs Group, Inc. (The)

 

6.75

 

10/01/37

 

405,479

 

150

 

Great-West Lifeco Finance LP (Canada) (a)

 

4.581

 

05/17/48

 

179,448

 

250

 

Guardian Life Insurance Co. of America (The) (a)

 

4.85

 

01/24/77

 

316,782

 

100

 

Harborwalk Funding Trust (a)

 

5.077

 

02/15/69

 

120,782

 

400

 

Hartford Financial Services Group, Inc. (The) (c)

 

2.80

 

08/19/29

 

399,473

 

375

 

High Street Funding Trust I (a)

 

4.111

 

02/15/28

 

404,089

 

275

 

HSBC Holdings PLC (United Kingdom)

 

3.803

 

03/11/25

 

286,717

 

525

 

HSBC Holdings PLC (United Kingdom)

 

3.90

 

05/25/26

 

556,173

 

425

 

HSBC Holdings PLC (United Kingdom)

 

3.95

 

05/18/24

 

445,017

 

250

 

HSBC Holdings PLC (United Kingdom)

 

4.375

 

11/23/26

 

267,681

 

250

 

ING Groep N.V. (Netherlands) (a)

 

4.625

 

01/06/26

 

277,023

 

250

 

iStar, Inc.

 

5.25

 

09/15/22

 

255,937

 

375

 

John Deere Capital Corp.

 

3.45

 

03/07/29

 

406,027

 

375

 

JPMorgan Chase & Co.

 

3.702

 

05/06/30

 

402,137

 

325

 

JPMorgan Chase & Co.

 

3.782

 

02/01/28

 

347,979

 

375

 

JPMorgan Chase & Co.

 

4.005

 

04/23/29

 

409,902

 

330

 

JPMorgan Chase & Co.

 

4.95

 

06/01/45

 

411,631

 

225

 

Kilroy Realty LP

 

3.05

 

02/15/30

 

220,692

 

175

 

Kimco Realty Corp.

 

3.70

 

10/01/49

 

171,695

 

275

 

Lloyds Banking Group PLC (United Kingdom)

 

3.574

 

11/07/28

 

280,857

 

325

 

Marsh & McLennan Cos., Inc.

 

3.875

 

03/15/24

 

346,313

 

200

 

MassMutual Global Funding II (a)

 

3.40

 

03/08/26

 

212,234

 

200

 

MDC GMTN B.V. (United Arab Emirates) (a)

 

4.50

 

11/07/28

 

230,858

 

250

 

MetLife, Inc. (c)

 

5.70

 

06/15/35

 

337,711

 

300

 

Nationwide Building Society (United Kingdom) (a)

 

4.302

 

03/08/29

 

321,405

 

425

 

Nationwide Building Society (United Kingdom) (a)

 

4.363

 

08/01/24

 

446,586

 

100

 

Northwestern Mutual Life Insurance Co. (The) (a)

 

3.625

 

09/30/59

 

102,587

 

275

 

PartnerRe Finance B LLC

 

3.70

 

07/02/29

 

287,123

 

250

 

Pine Street Trust I (a)

 

4.572

 

02/15/29

 

267,603

 

125

 

Principal Financial Group, Inc.

 

3.70

 

05/15/29

 

134,738

 

575

 

Royal Bank of Scotland Group PLC (United Kingdom)

 

3.875

 

09/12/23

 

594,012

 

750

 

Santander UK Group Holdings PLC (United Kingdom)

 

3.571

 

01/10/23

 

761,065

 

300

 

Santander UK Group Holdings PLC (United Kingdom)

 

4.796

 

11/15/24

 

321,546

 

325

 

Santander UK PLC (United Kingdom) (a)

 

5.00

 

11/07/23

 

345,622

 

200

 

SCOR SE, Series . (France) (d)

 

5.25

 

03/13/29

 

195,355

 

350

 

Service Properties Trust

 

4.35

 

10/01/24

 

354,544

 

225

 

Shinhan Bank Co. Ltd. (Korea, Republic of) (a)

 

4.00

 

04/23/29

 

240,164

 

100

 

Synchrony Financial

 

2.85

 

07/25/22

 

100,881

 

125

 

TD Ameritrade Holding Corp.

 

3.30

 

04/01/27

 

131,378

 

350

 

TD Ameritrade Holding Corp.

 

3.625

 

04/01/25

 

372,434

 

400

 

Trust F/1401 (Mexico) (a)

 

5.25

 

12/15/24

 

429,000

 

525

 

UBS Group Funding Switzerland AG (Switzerland) (a)

 

3.491

 

05/23/23

 

539,173

 

325

 

WEA Finance LLC/Westfield UK & Europe Finance PLC (a)

 

3.25

 

10/05/20

 

328,356

 

 


 

250

 

Wells Fargo & Co.

 

3.00

 

10/23/26

 

256,975

 

 

 

 

 

 

 

 

 

28,073,916

 

 

 

Industrials (4.2%)

 

 

 

 

 

 

 

325

 

Aviation Capital Group LLC (a)

 

4.375

 

01/30/24

 

342,458

 

250

 

Boeing Co. (The)

 

3.95

 

08/01/59

 

275,490

 

375

 

Burlington Northern Santa Fe LLC

 

4.55

 

09/01/44

 

450,835

 

165

 

Embraer Netherlands Finance BV (Brazil)

 

5.40

 

02/01/27

 

187,277

 

350

 

Fortune Brands Home & Security, Inc.

 

4.00

 

09/21/23

 

370,156

 

510

 

Heathrow Funding Ltd. (United Kingdom) (a)

 

4.875

 

07/15/23

 

532,387

 

425

 

Nvent Finance Sarl (United Kingdom)

 

3.95

 

04/15/23

 

433,349

 

125

 

Tyco Electronics Group SA (Switzerland)

 

3.125

 

08/15/27

 

128,617

 

200

 

Wabtec Corp.

 

4.95

 

09/15/28

 

220,717

 

225

 

Walt Disney Co. (The) (a)

 

4.75

 

09/15/44

 

291,876

 

100

 

Walt Disney Co. (The) (a)

 

4.95

 

10/15/45

 

134,330

 

 

 

 

 

 

 

 

 

3,367,492

 

 

 

Technology (5.5%)

 

 

 

 

 

 

 

164

 

Akamai Technologies, Inc.

 

0.125

 

05/01/25

 

188,538

 

400

 

Apple, Inc.

 

3.85

 

08/04/46

 

451,601

 

500

 

Dell International LLC/EMC Corp. (a)

 

4.90

 

10/01/26

 

536,373

 

200

 

Fiserv, Inc.

 

4.20

 

10/01/28

 

221,420

 

850

 

International Business Machines Corp.

 

3.30

 

05/15/26

 

897,063

 

225

 

International Business Machines Corp.

 

4.15

 

05/15/39

 

257,018

 

525

 

Microsoft Corp.

 

4.45

 

11/03/45

 

663,935

 

166

 

Nuance Communications, Inc.

 

1.00

 

12/15/35

 

157,700

 

200

 

NXP Semiconductors N.V. (Netherlands)

 

1.00

 

12/01/19

 

218,137

 

200

 

Oracle Corp.

 

3.80

 

11/15/37

 

218,083

 

150

 

Oracle Corp.

 

4.00

 

11/15/47

 

168,127

 

200

 

STMicroelectronics N.V., Series B (Switzerland)

 

0.25

 

07/03/24

 

239,788

 

149

 

Verint Systems, Inc.

 

1.50

 

06/01/21

 

150,556

 

 

 

 

 

 

 

 

 

4,368,339

 

 

 

Utilities (10.1%)

 

 

 

 

 

 

 

250

 

Abu Dhabi National Energy Co., PJSC (United Arab Emirates) (a)

4.375

 

06/22/26

 

269,425

 

400

 

Alabama Power Co.

 

3.75

 

03/01/45

 

431,803

 

575

 

Avangrid, Inc.

 

3.80

 

06/01/29

 

618,260

 

175

 

Black Hills Corp.

 

3.15

 

01/15/27

 

177,544

 

75

 

Black Hills Corp.

 

4.35

 

05/01/33

 

84,578

 

250

 

Boston Gas Co. (a)

 

4.487

 

02/15/42

 

291,289

 

175

 

Cleveland Electric Illuminating Co. (The) (a)

 

4.55

 

11/15/30

 

199,304

 

200

 

Consorcio Transmantaro SA (Peru) (a)

 

4.70

 

04/16/34

 

218,000

 

250

 

Duke Energy Indiana LLC, Series YYY

 

3.25

 

10/01/49

 

250,020

 

350

 

Electricite de France SA (France) (a)

 

4.50

 

09/21/28

 

391,107

 

225

 

Enel Finance International N.V. (Italy) (a)

 

6.00

 

10/07/39

 

281,494

 

300

 

Entergy Arkansas LLC

 

3.50

 

04/01/26

 

319,397

 

150

 

Entergy Louisiana LLC

 

3.05

 

06/01/31

 

155,590

 

300

 

Fortis, Inc., Series WI (Canada)

 

2.10

 

10/04/21

 

299,102

 

50

 

Indiana Michigan Power Co.

 

4.25

 

08/15/48

 

59,082

 

100

 

Interstate Power & Light Co.

 

3.50

 

09/30/49

 

100,948

 

275

 

Mid-Atlantic Interstate Transmission LLC (a)

 

4.10

 

05/15/28

 

303,415

 

250

 

Mississippi Power Co.

 

3.95

 

03/30/28

 

272,531

 

450

 

NextEra Energy Capital Holdings, Inc.

 

3.55

 

05/01/27

 

477,357

 

200

 

NiSource, Inc.

 

2.95

 

09/01/29

 

201,504

 

150

 

Northern States Power Co.

 

2.90

 

03/01/50

 

145,451

 

200

 

NSTAR Electric Co.

 

3.25

 

05/15/29

 

213,449

 

225

 

Oglethorpe Power Corp.

 

5.05

 

10/01/48

 

272,621

 

175

 

Public Service Co. of Colorado, Series 34

 

3.20

 

03/01/50

 

178,761

 

150

 

Southern California Edison Co.

 

4.00

 

04/01/47

 

161,134

 

525

 

Trans-Allegheny Interstate Line Co. (a)

 

3.85

 

06/01/25

 

558,492

 

221

 

TransAlta Corp. (Canada)

 

4.50

 

11/15/22

 

228,940

 

475

 

Virginia Electric & Power Co., Series B

 

4.20

 

05/15/45

 

542,539

 

 


 

325

 

Vistra Operations Co. LLC (a)

 

4.30

 

07/15/29

 

333,843

 

 

 

 

 

 

 

 

 

8,036,980

 

 

 

Total Corporate Bonds (Cost $72,636,746)

 

 

 

 

 

78,181,349

 

 

 

 

 

 

 

 

 

 

 

 

 

Short-Term Investments (1.8%)

 

 

 

 

 

 

 

 

 

U.S. Treasury Security (1.1%)

 

 

 

 

 

 

 

889

 

U.S. Treasury Bill (e)(f) (Cost $886,109)

 

2.353

 

11/21/19

 

886,109

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

NUMBER OF
SHARES
(000)

 

 

 

 

 

 

 

 

 

 

 

Investment Company (0.7%)

 

 

 

 

 

 

 

548

 

Morgan Stanley Institutional Liquidity Funds - Government Portfolio - Institutional Class (g) (Cost $548,204)

 

 

 

 

 

548,204

 

 

 

Total Short-Term Investments (Cost $1,434,313)

 

 

 

 

 

1,434,313

 

 

 

 

 

 

 

 

 

 

 

 

 

Total Investments (Cost $74,071,059) (h)(i)(j)

 

 

 

100.1

%

79,615,662

 

 

 

Liabilities in Excess of Other Assets

 

 

 

(0.1

)

(42,261

)

 

 

Net Assets

 

 

 

100.0

%

$

79,573,401

 

 


MTN

 

Medium Term Note.

PJSC

 

Public Joint Stock Company.

(a)

 

144A security — Certain conditions for public sale may exist. Unless otherwise noted, these securities are deemed to be liquid.

(b)

 

When-issued security.

(c)

 

For the nine months ended September 30, 2019, there were no transactions in Met Life, Inc., Corporate Bond and its affiliated broker-dealers, which may be deemed affiliates of the Adviser/Administrator and Distributor.

(d)

 

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 September 30, 2019.

(e)

 

All or a portion of the security was pledged to cover margin requirements for futures contracts and swap agreement.

(f)

 

Rate shown is the yield to maturity at September 30, 2019.

(g)

 

The Fund invests in the Institutional Class of the Morgan Stanley Institutional Liquidity Funds - Government Portfolio - (the “Liquidity Funds”), an open-end management investment company managed by the Adviser. Advisory fees paid by the Fund are reduced by an amount equal to its pro-rata share of the advisory and administration fees paid by the Fund due to its investment in the Liquidity Funds. For the nine months ended September 30, 2019, advisory fees paid were reduced by $1,256 relating to the Fund’s investment in the Liquidity Funds.

(h)

 

Securities are available for collateral in connection with purchase of when-issued security, open foreign currency forward exchange contract, futures contracts and swap agreement.

(i)

 

The Fund is permitted to purchase and sell securities (“cross-trade”) from and to other Morgan Stanley Funds as well as other funds and client accounts for which the Adviser or an affiliate of the Adviser serves as investment adviser, pursuant to procedures approved by the Trustees in compliance with Rule 17a-7 under the Act (the “Rule”). Each cross-trade is executed at the current market price in compliance with provisions of the Rule. For the nine months ended September 30, 2019, the Fund did not engage in any cross-trade transactions.

(j)

 

At September 30, 2019, the aggregate cost for federal income tax purposes approximates the aggregate cost for book purposes. The aggregate gross unrealized appreciation is $5,652,196 and the aggregate gross unrealized depreciation is $466,457, resulting in net unrealized appreciation of $5,185,739.

 

Foreign Currency Forward Exchange Contract:
The Fund had the following foreign currency forward exchange contract open at September 30, 2019:

 

Counterparty

 

Contracts
to Deliver

 

In Exchange
For

 

Delivery
Date

 

Unrealized
Appreciation

 

JPMorgan Chase Bank NA

 

EUR

110,547

 

$

123,147

 

12/18/19

 

$

1,939

 

 


 

Futures Contracts:
The Fund had the following futures contracts open at September 30, 2019:

 

 

 

Number
of
Contracts

 

Expiration
Date

 

Notional Amount
(000)

 

Value

 

Unrealized
Appreciation
(Depreciation)

 

Long:

 

 

 

 

 

 

 

 

 

 

 

U.S. Treasury 2 yr. Note

 

48

 

Dec-19

 

$

9,600

 

$

10,344,000

 

$

(26,275

)

U.S. Treasury 30 yr. Bond

 

17

 

Dec-19

 

1,700

 

2,759,312

 

(21,809

)

 

 

 

 

 

 

 

 

 

 

 

 

Short:

 

 

 

 

 

 

 

 

 

 

 

German Euro Bund

 

1

 

Dec-19

 

EUR

(100

)

(189,924

)

1,989

 

U.S. Treasury 5 yr. Note

 

5

 

Dec-19

 

$

(500

)

(595,742

)

78

 

U.S. Treasury 10 yr. Ultra Long Bond

 

13

 

Dec-19

 

(1,300

)

(1,851,281

)

5,636

 

U.S. Treasury 10 yr. Note

 

26

 

Dec-19

 

(2,600

)

(3,388,125

)

28,887

 

 

 

 

 

 

 

 

 

 

 

$

(11,494

)

 

Interest Rate Swap Agreement:
The Fund had the following interest rate swap agreement open at September 30, 2019:

 

Swap Counterparty

 

Floating Rate
Index

 

Pay/Receive
Floating Rate

 

Fixed
Rate

 

Payment
Frequency
Paid/Received

 

Maturity
Date

 

Notional
Amount
(000)

 

Value

 

Upfront
Payment
Paid

 

Unrealized
Depreciation

 

Morgan Stanley & Co., LLC*

 

3 Month USD LIBOR

 

Receive

 

2.39

%

Semi-Annual/Quarterly

 

3/27/29

 

$

4,430

 

$

(349,309

)

$

 

$

(349,309

)

 


*

 

Cleared swap agreement, the broker is Morgan Stanley & Co., LLC.

LIBOR

 

London Interbank Offered Rate.

 

Currency Abbreviations

 

EUR

 

Euro.

USD

 

United States Dollar.

 


 

Morgan Stanley Variable Investment Series

 

Notes to Portfolio of Investments · September 30, 2019 (unaudited)

 

In August 2018, the Financial Accounting Standards Board (“FASB”) issued Accounting Standards Update (“ASU”) 2018-13, Fair Value Measurement (Topic 820) - Disclosures Framework - Changes to Disclosure Requirements of Fair Value Measurement (“ASU 2018-13”) which introduces new fair value disclosure requirements as well as eliminates and modifies certain existing fair value disclosure requirements. ASU 2018-13 would be effective for fiscal years beginning after December 15, 2019 and for interim periods within those fiscal years; however, management has elected to early adopt ASU 2018-13 as permitted by the standard. The impact of the Fund’s adoption was limited to changes in the Fund’s financial statement disclosures regarding fair value, primarily those disclosures related to transfers between levels of the fair value hierarchy and disclosure of the range and weighted average used to develop significant unobservable inputs for Level 3 fair value measurements, when applicable.

 

Valuation of Investments - (1) An equity portfolio security listed 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 exchange 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 relevant exchanges. 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 or 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 or dealers; (3) 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; (4) OTC swaps may be valued by an outside pricing service approved by the Trust’s Board of Trustees (the “Trustees”) or quotes from a broker or dealer. Swaps cleared on a clearinghouse or exchange may be valued using the closing price provided by the clearinghouse or exchange; (5) quotations of foreign portfolio securities, other assets and liabilities and forward contracts stated in foreign currency are translated into U.S. dollar equivalents at the prevailing market rates prior to the close of the New York Stock Exchange (“NYSE”); (6) certain portfolio securities may be valued by an outside pricing service/vendor approved by 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 characteristics. Alternatively, if a valuation is not available from an outside pricing service/vendor, and the security trades on an exchange, the security may be valued at its latest reported sale price (or at the exchange official closing price if such exchange reports an official closing price), prior to the time when assets are valued. If there are no sales on a given day and if there is no official exchange 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 in the relevant exchanges; (7) when market quotations are not readily available, including circumstances under which Morgan Stanley Investment Management Inc. (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 procedures established by and under the general supervision of the Trustees. Occasionally, developments affecting the closing prices of securities and other assets may occur between the times at which valuations of such securities are determined (that is, close of the foreign market on which the securities trade) and the close of business on the NYSE. If developments occur during such periods that are expected to materially affect the value of such securities, such valuations may be adjusted to reflect the estimated fair value of such securities as of the close of the NYSE, as determined in good faith by the Trustees or by the Adviser using a pricing service and/or procedures approved by the Trustees; and (8) investments in mutual funds, including the Morgan Stanley Institutional Liquidity Funds, are valued at the net asset value as of the close of each business day.

 


 

The Trustees have responsibility for determining in good faith the fair value of the investments, and the Trustees may appoint others, such as the Trust’s Adviser or a valuation committee, to assist the Trustees in 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.

 

Fair Valuation Measurements

 

FASB Accounting Standards CodificationTM (“ASC”) 820, “Fair Value Measurement” (“ASC 820”), defines fair value as the value that the Fund would receive to sell an investment or pay to transfer a liability in a timely transaction with an independent buyer in the principal market, or in the absence of a principal market, the most advantageous market for the investment or liability. 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 determining 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 (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)

 

· Level 3 — significant unobservable inputs including the Fund’s own assumptions in determining the fair value of investments.  Factors considered in making this determination may include, but are not limited to, information 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 measurement in its entirety requires judgment and considers factors specific to each security.

 

The following is a summary of the inputs used to value the Fund’s investments as of September 30, 2019.

 

Investment Type

 

Level 1
Unadjusted
quoted
prices

 

Level 2
Other
significant
observable
inputs

 

Level 3
Significant
unobservable
inputs

 

Total

 

Assets:

 

 

 

 

 

 

 

 

 

Fixed Income Securities

 

 

 

 

 

 

 

 

 

Corporate Bonds

 

$

 

$

78,181,349

 

$

 

$

78,181,349

 

Short-Term Investments

 

 

 

 

 

 

 

 

 

U.S. Treasury Security

 

 

886,109

 

 

886,109

 

Investment Company

 

548,204

 

 

 

548,204

 

Total Short-Term Investments

 

548,204

 

886,109

 

 

1,434,313

 

Foreign Currency Forward Exchange Contract

 

 

1,939

 

 

1,939

 

Futures Contracts

 

36,590

 

 

 

36,590

 

Total Assets

 

584,794

 

79,069,397

 

 

79,654,191

 

Liabilities:

 

 

 

 

 

 

 

 

 

Futures Contracts

 

(48,084

)

 

 

(48,084

)

Interest Rate Swap Agreement

 

 

(349,309

)

 

(349,309

)

Total Liabilities

 

(48,084

)

(349,309

)

 

(397,393

)

Total

 

$

536,710

 

$

78,720,088

 

$

 

$

79,256,798

 

 

Transfers between investment levels may occur as the markets fluctuate and/or the availability of data used in an investment’s valuation changes.