0000930413-17-003067.txt : 20170825 0000930413-17-003067.hdr.sgml : 20170825 20170825113937 ACCESSION NUMBER: 0000930413-17-003067 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 10 CONFORMED PERIOD OF REPORT: 20170630 FILED AS OF DATE: 20170825 DATE AS OF CHANGE: 20170825 EFFECTIVENESS DATE: 20170825 FILER: COMPANY DATA: COMPANY CONFORMED NAME: COLLEGE RETIREMENT EQUITIES FUND CENTRAL INDEX KEY: 0000777535 IRS NUMBER: 136022042 STATE OF INCORPORATION: NY FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-04415 FILM NUMBER: 171051008 BUSINESS ADDRESS: STREET 1: 730 THIRD AVE CITY: NEW YORK STATE: NY ZIP: 10017 BUSINESS PHONE: 2129164905 MAIL ADDRESS: STREET 1: 730 THIRD AVE CITY: NEW YORK STATE: NY ZIP: 10017 0000777535 S000005080 Stock Account C000154473 Class R1 QCSTRX C000154474 Class R2 QCSTPX C000154475 Class R3 QCSTIX 0000777535 S000005081 Global Equities Account C000154476 Class R1 QCGLRX C000154477 Class R2 QCGLPX C000154478 Class R3 QCGLIX 0000777535 S000005082 Growth Account C000154479 Class R1 QCGRRX C000154480 Class R2 QCGRPX C000154481 Class R3 QCGRIX 0000777535 S000005083 Equity Index Account C000154482 Class R1 QCEQRX C000154483 Class R2 QCEQPX C000154484 Class R3 QCEQIX 0000777535 S000005084 Bond Market Account C000154485 Class R1 QCBMRX C000154486 Class R2 QCBMPX C000154487 Class R3 QCBMIX 0000777535 S000005085 Inflation-Linked Bond Account C000154488 Class R1 QCILRX C000154489 Class R2 QCILPX C000154490 Class R3 QCILIX 0000777535 S000005086 Social Choice Account C000154491 Class R1 QCSCRX C000154492 Class R2 QCSCPX C000154493 Class R3 QCSCIX 0000777535 S000005087 Money Market Account C000154494 Class R1 QCMMRX C000154495 Class R2 QCMMPX C000154496 Class R3 QCMMIX N-CSRS 1 c88718_ncsrs.htm

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, DC 20549

 

FORM N-CSR

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT
INVESTMENT COMPANIES

 

Investment Company Act file number File No. 811-04415

 

COLLEGE RETIREMENT EQUITIES FUND

(Exact Name of Registrant as specified in charter)

 

730 Third Avenue, New York, New York 10017-3206

(Address of Principal Executive Offices) (Zip code)

 

F. Scott Thomas, Esq.

College Retirement Equities Fund

8500 Andrew Carnegie Blvd.

Charlotte, North Carolina 28262-8500

(Name and address of agent for service)

 

Registrant’s telephone number, including area code: 704-595-1000

 

Date of fiscal year end: December 31

 

Date of reporting period: June 30, 2017

 

Item 1. Reports to Stockholders.


Semiannual Report


June 30, 2017
 

 

College Retirement Equities Fund

 

The semiannual report contains the financial statements (unaudited).

 

 

 

Stock Equity Index Social Choice
Global Equities Bond Market Money Market
Growth Inflation-Linked Bond  


 

 

Contents

 

   
Understanding your CREF report 3
Proposals for action at the 2018 CREF participant meeting 3
Letter to CREF participants 4
Information for CREF participants 6
About the accounts’ benchmarks 7
Important information about expenses 9
Account performance  
CREF Stock Account 10
CREF Global Equities Account 13
CREF Growth Account 16
CREF Equity Index Account 19
CREF Bond Market Account 22
CREF Inflation-Linked Bond Account 25
CREF Social Choice Account 28
CREF Money Market Account 31
Summary portfolios of investments 34
Financial statements (unaudited)  
Statements of assets and liabilities 66
Statements of operations 68
Statements of changes in net assets 70
Financial highlights 76
Notes to financial statements 82
Approval of investment management agreement 100
Additional information about index providers 110
How to reach us Inside back cover
   
 

Understanding your CREF report

 

This semiannual report contains information about the eight CREF accounts and describes the accounts’ results for the six months ended June 30, 2017. The report contains four main sections:

  A letter to participants from Carol Deckbar, Principal Executive Officer, CREF; Executive Vice President, TIAA.
  The account performance section compares each account’s investment returns with those of its benchmark index.
  The summary portfolios of investments list the industries and types of securities in which each account had investments as of June 30, 2017.
  The financial statements provide detailed information about the operations and financial condition of each account.

 

The views and opinions expressed in this report are through the end of the period, as stated on the cover of this report. They are subject to change at any time based on a variety of factors. As such, they are not guarantees of future performance or investment results and should not be taken as investment advice. The risks of investing in the CREF accounts vary from account to account; to see the risks of investing in an individual account, please refer to the latest CREF prospectus.

 

As always, you should carefully consider the investment objectives, risks, charges and expenses of any account before investing. For a prospectus that contains this and other important information, please visit our website at TIAA.org, or call 877-518-9161. We urge you to read the prospectus carefully before investing.

 

Proposals for action at the 2018 CREF participant meeting

 

We anticipate that the next meeting of CREF participants will be held in July 2018; however, the exact date, time and location of such meeting have yet to be determined. Proposals submitted by or on behalf of participants pursuant to Rule 14a-8 under the Securities Exchange Act of 1934 for inclusion in the CREF proxy materials for the 2018 participant meeting must be received by CREF’s Corporate Secretary no earlier than October 12, 2017 and no later than February 9, 2018. The submission of a proposal does not assure its inclusion in CREF’s proxy statement or presentation at the meeting. Unless CREF is notified by April 25, 2018 of other matters that may properly be brought before the 2018 participant meeting by or on behalf of participants, the persons named in the proxy will have the discretion to vote on those matters as they see fit.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 3
 

Letter to CREF participants

 

Global equity markets produced solid results throughout the first half of 2017. Steady economic growth in many parts of the world helped propel global stocks higher. The U.S. economy continued to grow, albeit at a slower place, and domestic stocks advanced accordingly. Meanwhile, accommodative monetary policy in many foreign economies pushed international stock prices substantially higher. Long-term yields in the U.S. bond market declined, however, reflecting potential skepticism regarding the future growth prospects of the domestic economy.

 

  Returns for the five CREF accounts with significant exposure to U.S. equities ranged from 6.9% for the Social Choice Account to 14.8% for the Growth Account.
  The Bond Market Account advanced 2.4% for the six months, while the Inflation-Linked Bond Account returned 0.5%.
  All account returns are for Class R1.

 

During the period, four of the accounts outperformed, one closely tracked, and two underperformed, as compared with their respective benchmarks (not including the Money Market Account).

 

All CREF accounts showed positive returns for the period

 

For the six-month period, all of the CREF accounts had positive performance. Domestic growth stocks topped value shares, and international stocks generally outperformed U.S.-based stocks. Equities outpaced fixed-income securities by a significant margin.

Looking at individual account performance highlights, the Stock Account, which is the largest CREF account in terms of net assets, performed well, returning 10.7% and outperforming its composite benchmark for the period. This account benefited from underweight positions in certain blue-chip stocks that lagged the market.

The Global Equities Account outperformed its benchmark, with a return of 11.1%, in large part due to opportune stock choices in Europe and Japan.

The Growth Account also outperformed, returning 14.8%, helped by an underweight position in telecommunications giant Verizon and overweights in the technology sector.

The Bond Market Account outperformed its benchmark primarily as a result of its emphasis on corporate bonds, which continued to outperform during the period.

The Equity Index Account and Inflation-Linked Bond Account lagged their respective benchmarks by relatively small margins, primarily due to the effect of expenses.

Finally, the Social Choice Account slightly lagged its composite benchmark, with a return of 6.9%. Exclusions of certain technology stocks hurt performance, while avoiding oil giant Exxon Mobil helped, as did account holdings in electric car maker Tesla.

For full details on performance for all of the accounts, please see the commentaries on the following pages.

 

4 2017 Semiannual Report  ■  College Retirement Equities Fund
 

 

 

Carol Deckbar

 

Global stocks push higher

 

The U.S. stock market, as measured by the broad-based Russell 3000® Index, rose 8.9% for the six months, as investors responded to strong corporate profits and continued to hope for government policies that would further stimulate the economy. Many domestic equity markets were at or near all-time highs during the period.

Foreign equities, as represented in U.S.-dollar terms by the MSCI EAFE Index, rose at a stronger pace, advancing 13.8%.

U.S. fixed-rate investment-grade bonds, as measured by the Bloomberg Barclays U.S. Aggregate Bond Index, rose by a more modest 2.3%, reflecting two interest-rate increases during the period by the Federal Reserve. Corporate and municipal bonds continued to show strong returns among sectors in the aggregate index.

 

Where can you turn in uncertain times?

 

Stock markets in the United States are in their ninth year of gains—and continue to rise—even as political issues dominate the headlines. Overseas, Europe and Japan appear to be pulling out of their long-term doldrums. Global markets seem to be performing well, yet some investors still have vivid memories of the last downturn—the “credit crunch” of 2008. So what’s the best course of action?

Attempting to “time the market”—i.e., buying or selling assets based on trying to accurately predict future market price movements—can be a very tricky investment strategy, even for the most seasoned financial professionals. At TIAA, we believe that having the patience and confidence to remain invested in a well-balanced, diversified portfolio of financial assets may be the wiser, more prudent strategy for investors to adopt in working toward their financial goals.

As always, however, we recommend that you consult your financial advisor or call a TIAA financial consultant with any questions about your investments. To learn more, visit us at TIAA.org or call 800-842-2252. We would be happy to assist you.

 

/s/ Carol W. Deckbar

 

Carol W. Deckbar

Principal Executive Officer, CREF; Executive Vice President, TIAA

 

College Retirement Equities Fund  ■  2017 Semiannual Report 5
 

Information for CREF participants

 

Portfolio holdings

 

Securities and Exchange Commission (SEC) rules allow investment companies to list the top holdings of each account in their annual and semiannual reports, instead of providing complete portfolio listings. CREF also files complete portfolio listings with the SEC, and they are available to the public.

You can obtain a complete list of CREF’s portfolio holdings (Schedules of Investments) as of the most recently completed fiscal quarter in the following ways:

  By visiting our website at TIAA.org; or
  By calling us at 800-842-2252 to request a copy, which will be provided free of charge.

You can also obtain a complete list of CREF’s portfolio holdings as of the most recently completed fiscal quarter, and for prior quarter-ends, from our SEC Form N-CSR and Form N-Q filings. Form N-CSR filings are as of December 31 or June 30; Form N-Q filings are as of March 31 or September 30. Copies of these forms are available:

  Through the Electronic Data Gathering and Retrieval System (EDGAR) on the SEC’s website at www.sec.gov; or
  From the SEC’s Office of Investor Education and Advocacy.
    (Call 202-551-8090 for more information.)

 

Proxy voting

 

CREF’s ownership of stock gives it the right to vote on proxy issues of companies in which it invests. A description of our proxy voting policies and procedures can be found on our website at TIAA.org or on the SEC’s website at www.sec.gov. You can also call us at 800-842-2252 to request a free copy. A report of how the accounts voted during the most recently completed twelve-month period ended June 30 can be found on our website or on Form N-PX at www.sec.gov.

 

Contacting TIAA

 

There are three easy ways to contact us: by email, using the Contact Us link at the top of our home page; by mail at TIAA, 730 Third Avenue, New York, NY 10017–3206; or by phone at 800-842-2252.

 

Account management

 

The CREF accounts are managed by the portfolio management teams of TIAA-CREF Investment Management, LLC. The members of these teams are responsible for the day-to-day investment management of the accounts.

 

6 2017 Semiannual Report  ■  College Retirement Equities Fund
 

About the accounts’ benchmarks

 

CREF Stock Account

 

The account’s composite benchmark is a weighted average of two unmanaged indexes: the Russell 3000® Index, which measures the performance of the broad U.S. stock market, and the MSCI All Country World ex USA Investable Market Index, which measures the performance of mid- and large-cap stocks in 45 developed- and emerging-market nations throughout the world, excluding the United States.

 

CREF Global Equities Account

 

The account’s benchmark is the MSCI World Index, an aggregate of 23 country indexes in developed-market nations, including the United States.

 

CREF Growth Account

 

The account’s benchmark is the Russell 1000® Growth Index, a subset of the Russell 1000 Index, which measures the performance of the stocks of the 1,000 largest companies in the Russell 3000 Index, based on market capitalization. The Russell 1000 Growth Index measures the performance of those stocks of the Russell 1000 Index with higher relative forecasted growth rates and price/book ratios.

 

CREF Equity Index Account

 

The account’s benchmark is the Russell 3000 Index, which measures the performance of the stocks of the 3,000 largest publicly traded U.S. companies, based on market capitalization. The index measures the performance of about 98% of the total market capitalization of the publicly traded U.S. equity market.

 

CREF Bond Market Account

 

The account’s benchmark is the Bloomberg Barclays U.S. Aggregate Bond Index, which measures the performance of the domestic investment-grade fixed-rate bond market, including government and corporate securities, agency mortgage pass-through securities, asset-backed securities and commercial mortgage-backed securities.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 7
 

About the accounts’ benchmarks

 

CREF Inflation-Linked Bond Account

 

The account’s benchmark is the Bloomberg Barclays U.S. Treasury Inflation Protected Securities (TIPS) 1–10 Year Index, which measures the performance of fixed-income securities with maturities between 1 and 10 years that are adjusted for inflation, as measured by the Consumer Price Index for All Urban Consumers (CPI-U).

 

CREF Social Choice Account

 

The account’s composite benchmark is a weighted average of three unmanaged indexes: the Russell 3000® Index, which measures the performance of the broad U.S. stock market; the Bloomberg Barclays U.S. Aggregate Bond Index, which measures the performance of the domestic investment-grade, fixed-rate bond market; and the MSCI EAFE+Canada Index, which measures stock performance in 22 developed-market nations, excluding the United States.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

Russell 1000® and Russell 3000 are trademarks and service marks of Russell Investments. TIAA products are not promoted or sponsored by, or affiliated with, Russell Investments. MSCI makes no express or implied warranties or representations and shall have no liability whatsoever with respect to any MSCI data contained herein. This report is not approved, reviewed or produced by MSCI. EAFE stands for Europe, Australasia, Far East.

 

8 2017 Semiannual Report  ■  College Retirement Equities Fund
 

Important information about expenses

 

All participants in the CREF accounts incur ongoing costs, including management fees and other account expenses.

The expense examples for each Class that appear on the performance pages are intended to help you understand your ongoing costs (in U.S. dollars) and do not reflect transactional costs incurred by the account for buying and selling securities. The examples are designed to help you compare these ongoing costs with the ongoing costs of investing in other variable annuity accounts and mutual funds. Participants in the CREF accounts do not incur a sales charge for purchases or other distributions.

The examples are based on an investment of $1,000 invested at the beginning of the six-month period and held for the entire period (January 1, 2017–June 30, 2017).

 

Actual expenses

 

The first section in each table uses the account’s actual expenses and its actual rate of return. You may use the information in this section, together with the amount you invested, to estimate the expenses that you paid over the six-month period.

Simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number in the first line under the heading “Expenses paid during period” to estimate the expenses you paid during the six-month period.

 

Hypothetical example for comparison purposes

 

The second section in the table shows hypothetical account values and expenses based on the account’s actual expense ratio for each Class for the six-month period and an assumed 5% per year rate of return before expenses. This was not the account’s actual return.

This hypothetical example cannot be used to estimate the actual expenses you paid for the period but rather allows you to compare the ongoing costs of investing in the account with the costs of other accounts. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of other variable annuity accounts and mutual funds.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 9
 

CREF Stock Account

 

Performance for the six months ended June 30, 2017

 

The CREF Stock Account returned 10.73% for the period, compared with the 10.54% return of its composite benchmark, a weighted average of the Russell 3000® Index and the MSCI All Country World ex USA Investable Market Index. For the twelve months ended June 30, 2017, the account returned 18.75%, versus 19.17% for the composite index. (All returns for the account are for Class R1.)

During the six-month period, the domestic economy continued to grow, but at a slower pace. Unemployment remained low, ending the period at 4.4%. The Federal Reserve raised the federal funds target rate twice during the period, first to 0.75%–1.00% and then to 1.00%–1.25%. Inflation remained stable, with annual core inflation, which includes all items except food and energy, rising 1.7% for the twelve months ended June 30, 2017. The broad U.S. stock market, as measured by the Russell 3000 Index, rose 8.93%. Growth stocks outperformed value stocks by a wide margin, while large caps outperformed mid- and small-cap stocks for the period. (Returns by investment style and market capitalization are based on the Russell indexes.)

The MSCI All Country World ex USA Investable Market Index, which measures stock market performance of mid- and large-cap stocks in 45 developed- and emerging-markets countries outside the United States, gained 14.30% in U.S.-dollar terms for the period, outperforming U.S. stocks by a wide margin.

 

The account outperforms its benchmark

 

For the six-month period, the account modestly outperformed its benchmark. An underweight position in energy giant Exxon Mobil, which struggled during the period, made the most significant contribution to the account’s returns versus its benchmark. Similarly, underweight positions in blue-chip stocks General Electric and International Business Machines, which also posted negative returns during the period, helped support the account’s relative performance. By contrast, overweight positions in three energy stocks—EOG Resources, RSP Permian and Parsley Energy, all of which are Texas-based oil and gas companies—detracted from the account’s relative returns due to poor performance stemming from the decline in oil prices.

The account’s returns may sometimes diverge from the returns of its benchmark more than would be expected. This divergence may be the result of the account’s fair value pricing adjustments or of the timing of foreign currency valuation. Many foreign exchanges close for trading before the account’s accumulation unit value (AUV) is calculated (see the latest CREF prospectus for more details on AUV calculations). In the intervening hours, the values of foreign securities can change, and these changes are not reflected immediately in the returns of the account’s benchmark. These changes are, however, taken into account to value the account’s portfolio holdings at the time the account’s AUV is calculated; these are known as fair value adjustments.

 

10 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Stock Account

 

Performance as of June 30, 2017

 

CREF Stock Account         Total return  Average annual
total return
  Estimated annual
operating
 
   Ticker  Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  QCSTRX  7/31/1952   10.73%   18.75%   11.99%   5.15%   0.705%
Class R2  QCSTPX  4/24/2015   10.88    19.08    12.12   5.22   0.430 
Class R3  QCSTIX  4/24/2015   10.93    19.19    12.17   5.24   0.320 
CREF Stock Composite                               
Benchmark        10.54    19.17    12.50    5.48     
Broad market index                               
Russell 3000® Index        8.93    18.51    14.58    7.26     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the accounts’ latest prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.
On June 30, 2017, the CREF Stock Composite Benchmark consisted of: 70.0% Russell 3000 Index and 30.0% MSCI All Country World ex USA Investable Market Index. The account’s benchmark, the components that make up the composite benchmark and the method of calculating the composite benchmark’s performance may vary over time.

 

Expense example

 

Six months ended June 30, 2017

CREF Stock Account  Beginning
account value
(1/1/17
)  Ending
account value
(6/30/17
)  Expenses paid
during period
(1/1/17–6/30/17
*
)
Actual return               
Class R1   $1,000.00    $1,107.28    $3.61 
Class R2   1,000.00    1,108.77    2.20 
Class R3   1,000.00    1,109.26    1.73 
5% annual hypothetical return               
Class R1   1,000.00    1,021.37    3.46 
Class R2   1,000.00    1,022.71    2.11 
Class R3   1,000.00    1,023.16    1.66 

 

* “Expenses paid during period” is based on the account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2017. The account’s annualized six-month expense ratios for that period were 0.69% for Class R1, 0.42% for Class R2 and 0.33% for Class R3.

 

For more information about this expense example, please see page 9.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 11
 

CREF Stock Account

 

Account profile   
   as of 6/30/2017
Net assets   $119.54 billion
Portfolio turnover rate   25%
Number of holdings   9,509
Weighted median market capitalization   $40.28 billion
Price/earnings ratio (weighted 12-month trailing average)   24.2

 

Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.

 

Portfolio composition   
Sector% of net assets
as of 6/30/2017
Information technology   18.5
Financials   16.7
Consumer discretionary   12.9
Health care   11.9
Industrials   11.4
Consumer staples   8.0
Energy   6.0
Materials   5.0
Real estate   3.7
Utilities   2.8
Telecommunication services   2.4
Short-term investments, other assets & liabilities, net   0.7
Total   100.0
Holdings by company size   
Market capitalization% of equity investments
as of 6/30/2017
More than $50 billion   45.0
More than $15 billion–$50 billion   24.0
More than $2 billion–$15 billion   24.6
$2 billion or less   6.4
Total   100.0
     
Holdings by country    
% of portfolio investments
as of 6/30/2017
United States   67.9
Japan   4.8
United Kingdom   3.2
France   2.5
China   2.0
Canada   2.0
Germany   1.8
Switzerland   1.5
60 other nations   11.8
Short-term investments   2.5
Total   100.0


 

12 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Global Equities Account

 

Performance for the six months ended June 30, 2017

 

The CREF Global Equities Account returned 11.06% for the period, compared with the 10.66% return of its benchmark, the MSCI World Index. For the twelve months ended June 30, 2017, the account returned 18.37%, versus 18.20% for the index. (All returns for the account are for Class R1.)

During the six-month period, steady economic growth and accommodative monetary policies pushed international stocks higher in both developed- and emerging-markets countries—outpacing domestic equity advances by a significant margin. Economic growth in the European Union generally outpaced expansion in the United States, and political uncertainty in Europe faded after the elections in France and the United Kingdom. The Federal Reserve raised the federal funds target rate twice during the period, first to 0.75%–1.00% and then to 1.00%–1.25%. The European Central Bank left its key benchmark interest rate unchanged in June. The bank also reaffirmed that it would continue with asset purchases to further stimulate European economies through the end of 2017.

Market performance was positive across countries in the MSCI World Index with most posting double-digit gains in U.S.-dollar terms. The U.S. dollar weakened against most major international currencies, creating a tailwind for many overseas markets.

 

Stock selection contributes to relative performance

 

The account’s stock choices propelled it ahead of the benchmark for the six months. An underweight position in General Electric was beneficial as the company’s stock generally declined throughout the period. The account also gained from overweight positions in ING Groep, a financial institution offering banking services in the Netherlands, Belgium and Germany, and Japanese consumer electronics giant Sony.

Not all stock choices aided relative performance. Notable detractors were an out-of-benchmark investment in AK Steel Holding, a producer of flat-rolled carbon, stainless and electrical steels, and overweight positions in U.S. oil and natural gas producer EOG Resources and Canada-based integrated oil company Cenovus Energy.

The account’s returns may sometimes diverge from the returns of its benchmark more than would be expected. This divergence may be the result of the account’s fair value pricing adjustments or of the timing of foreign currency valuations. Many foreign exchanges close for trading before the account’s accumulation unit value (AUV) is calculated (see the latest CREF prospectus for more details on AUV calculations). In the intervening hours, the values of foreign securities can change, and these changes are not reflected immediately in the returns of the account’s benchmark. These changes are, however, taken into account to value the account’s portfolio holdings at the time the account’s AUV is calculated; these are known as fair value pricing adjustments.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 13
 

CREF Global Equities Account

 

Performance as of June 30, 2017

 

CREF Global Equities Account    Total return  Average annual
total return
  Estimated
annual
operating
 
   Ticker  Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  QCGLRX  5/1/1992   11.06%   18.37%   10.92%   3.85%   0.715%
Class R2  QCGLPX  4/24/2015   11.21    18.70    11.06   3.91   0.440 
Class R3  QCGLIX  4/24/2015   11.26    18.81    11.11   3.93   0.330 
MSCI World Index         10.66    18.20    11.38    3.97     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the accounts’ latest prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example

 

Six months ended June 30, 2017

CREF Global Equities Account  Beginning
account value
(1/1/17
)  Ending
account value
(6/30/17
)  Expenses paid
during period
(1/1/17–6/30/17
*
)
Actual return               
Class R1   $1,000.00    $1,110.59    $3.82 
Class R2   1,000.00    1,112.08    2.41 
Class R3   1,000.00    1,112.57    1.99 
5% annual hypothetical return               
Class R1   1,000.00    1,021.17    3.66 
Class R2   1,000.00    1,022.51    2.31 
Class R3   1,000.00    1,022.91    1.91 

 

* “Expenses paid during period” is based on the account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2017. The account’s annualized six-month expense ratios for that period were 0.73% for Class R1, 0.46% for Class R2 and 0.38% for Class R3.

 

For more information about this expense example, please see page 9.

 

14 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Global Equities Account

 

Account profile   
   as of 6/30/2017
Net assets  $19.23 billion
Portfolio turnover rate  22%
Number of holdings  2,035
Weighted median market capitalization  $48.17 billion
Price/earnings ratio (weighted 12-month trailing average)  22.9

 

Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.

 

Portfolio composition   
Sector% of net assets
as of 6/30/2017
Financials   18.1
Information technology   16.8
Consumer discretionary   13.6
Health care   11.6
Industrials   11.5
Consumer staples   7.8
Materials   6.2
Energy   6.1
Real estate   2.3
Telecommunication services   2.2
Utilities   2.1
Short-term investments, other assets & liabilities, net   1.7
Total   100.0
Holdings by company size
Market capitalization% of equity investments
as of 6/30/2017
More than $50 billion   48.9
More than $15 billion–$50 billion   27.9
More than $2 billion–$15 billion   21.4
$2 billion or less   1.8
Total   100.0
     
Holdings by country    
 % of portfolio investments
as of 6/30/2017
United States   58.4
Japan   7.6
United Kingdom   5.1
France   3.7
Canada   2.9
Germany   2.7
Switzerland   2.6
Netherlands   2.5
40 other nations   10.9
Short-term investments   3.6
Total   100.0


 

College Retirement Equities Fund  ■  2017 Semiannual Report 15
 

CREF Growth Account

 

Performance for the six months ended June 30, 2017

 

The CREF Growth Account returned 14.76% for the period, compared with the 13.99% return of its benchmark, the Russell 1000® Growth Index. For the twelve months ended June 30, 2017, the account returned 20.52%, versus 20.42% for the index. (All returns for the account are for Class R1.)

During the six-month period, the domestic economy continued to grow, but at a slower pace. Unemployment remained low, ending the period at 4.4%. The Federal Reserve raised the federal funds target rate twice during the period, first to 0.75%–1.00% and then to 1.00%–1.25%. Inflation remained stable, with annual core inflation, which includes all items except food and energy, rising 1.7% for the twelve months ended June 30, 2017. The broad U.S. stock market, as measured by the Russell 3000® Index, rose 8.93%. Growth stocks outperformed value stocks by a wide margin, while large caps outperformed mid- and small-cap stocks for the period. (Returns by investment style and market capitalization are based on the Russell indexes.)

For the ten years ended June 30, 2017, the Russell 1000 Growth Index posted an annual average return of 8.91%, versus the 5.57% average annual return of the Russell 1000® Value Index.

 

The account posts double-digit gains, outperforms its benchmark

 

Nine of the eleven industry sectors of the Russell 1000 Growth Index generated positive returns for the six months. Information technology (up 19.1%), health care (up 16.8%) and consumer discretionary (up 12.7%) contributed most to the index’s total return given their substantial weights. Together, these three sectors represented more than two-thirds of the total market capitalization of the index on June 30, 2017. The financials, materials and industrials sectors also delivered double-digit gains. Energy (down 17.2%) was the worst-performing sector as oil prices declined over the period. Telecommunication services (down 12.4%) also suffered losses. However, both sectors had minimal impact on the index’s performance due to their low weights.

The account outperformed its benchmark during the reporting period, primarily due to favorable security selections. An underweight position in poorly performing telecommunication services provider Verizon Communications had the largest impact on the account’s outperformance, followed by overweight positions in Internet provider IAC/InterActive and software firm Adobe Systems, both of which delivered strong double-digit returns for the six-month period.

By contrast, these positive factors were tempered by account positions that detracted from its relative returns. The most significant was an overweight position in oil and gas company EOG Resources, which was hurt by lower crude oil prices, followed by nonbenchmark positions in banking firm Synchrony Financial, which declined as a result of poor first-quarter earnings, and energy company Concho Resources, which was also hurt by the decline in oil prices.

 

16 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Growth Account

 

Performance as of June 30, 2017

 

CREF Growth Account      Average annual  Estimated
annual
 
         Total return  total return  operating 
   Ticker  Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  QCGRRX  4/29/1994   14.76%   20.52%   15.02%   8.61%   0.650%
Class R2  QCGRPX  4/24/2015   14.91    20.85    15.16   8.68   0.375 
Class R3  QCGRIX  4/24/2015   14.96    20.97    15.21   8.70   0.265 
Russell 1000® Growth Index        13.99    20.42    15.30    8.91     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the accounts’ latest prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example

 

Six months ended June 30, 2017

CREF Growth Account Beginning
account value
(1/1/17
) Ending
account value
(6/30/17
) Expenses paid
during period
(1/1/17–6/30/17
*
)
Actual return            
Class R1 $1,000.00   $1,147.58   $3.35  
Class R2 1,000.00   1,149.11   1.92  
Class R3 1,000.00   1,149.62   1.44  
5% annual hypothetical return            
Class R1 1,000.00   1,021.67   3.16  
Class R2 1,000.00   1,023.01   1.81  
Class R3 1,000.00   1,023.46   1.35  

 

* “Expenses paid during period” is based on the account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2017. The account’s annualized six-month expense ratios for that period were 0.63% for Class R1, 0.36% for Class R2 and 0.27% for Class R3.

 

For more information about this expense example, please see page 9.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 17
 

CREF Growth Account

 

Account profile
  as of 6/30/2017
Net assets $23.11 billion
Portfolio turnover rate 26%
Number of holdings 654
Weighted median market capitalization $69.91 billion
Price/earnings ratio (weighted 12-month trailing average) 26.3

 

Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.

 

Portfolio composition
  % of net assets
Sector as of 6/30/2017
Information technology 38.1
Consumer discretionary 21.0
Health care 14.3
Industrials 10.0
Consumer staples 5.6
Financials 4.0
Materials 3.7
Energy 0.9
Real estate 0.8
Telecommunication services 0.7
Short-term investments, other assets & liabilities, net 0.9
Total 100.0
Holdings by company size
  % of equity investments
Market capitalization as of 6/30/2017
More than $50 billion 57.7
More than $15 billion–$50 billion 26.2
More than $2 billion–$15 billion 15.8
$2 billion or less 0.3
Total 100.0


 

18 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Equity Index Account

 

Performance for the six months ended June 30, 2017

 

The CREF Equity Index Account returned 8.61% for the period, compared with the 8.93% return of its benchmark, the Russell 3000® Index. For the twelve months ended June 30, 2017, the account returned 17.82%, versus 18.51% for the index. (All returns for the account are for Class R1.)

For the six-month period, the account’s return trailed that of its benchmark index primarily because of the effect of expenses. The account’s return includes a deduction for expenses, while the benchmark’s return does not. The account had a risk profile similar to that of its benchmark.

During the six-month period, the domestic economy continued to grow, but at a slower pace, while unemployment remained low, ending the period at 4.4%. Inflation remained stable, with annual core inflation, which includes all items except food and energy, rising 1.7% for the twelve months ended June 30, 2017. The Federal Reserve raised the federal funds target rate twice during the period, first to 0.75%–1.00% and then to 1.00%–1.25%. Growth in consumer spending was modest, while consumer confidence remained upbeat. The broad U.S. stock market, as measured by the Russell 3000 Index, rose 8.93% for the period. Many major stock indexes were at or near all-time highs by the end of the period as investors responded to strong corporate profits and continued to hope for government policies that would further stimulate the economy. Growth stocks outperformed value equities by a wide margin, while large caps outperformed mid- and small-cap stocks for the period. (Returns by investment style and market capitalization are based on the Russell Indexes.)

 

Most sectors post solid gains

 

Nine of the eleven industry sectors in the account’s benchmark index delivered positive performance for the six months. Health care (up 16.9%), information technology (up 16.6%) and consumer discretionary (up 11.1%) contributed the most to the index’s total return given their substantial weights. Together, these three sectors represented close to one-half of the total market capitalization of the index on June 30, 2017. Materials (up 9.1%) and utilities (up 8.5%) also produced solid gains, but they had less of an impact on the benchmark’s performance given their low weight. Energy (down 14.0%) was the worst-performing sector as oil prices declined over the period. Telecommunication services (down 9.8%), which was the smallest sector in the index at period-end, also suffered losses.

All of the benchmark’s five largest stocks outperformed the benchmark for the six months. Facebook performed best with sizable double-digit gains, followed closely by Amazon.com. Apple was next in line, rising on investor expectations for sales of its next iPhone. Johnson & Johnson and Microsoft also posted strong results.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 19
 

CREF Equity Index Account

 

Performance as of June 30, 2017

 

CREF Equity Index Account         Average annual  Estimated
annual
 
         Total return  total return  operating 
   Ticker  Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  QCEQRX  4/29/1994   8.61%   17.82%   14.05%   6.81%   0.610%
Class R2  QCEQPX  4/24/2015   8.76    18.14    14.19   6.87   0.335 
Class R3  QCEQIX  4/24/2015   8.80    18.26    14.24   6.90   0.225 
Russell 3000® Index        8.93    18.51    14.58    7.26     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the accounts’ latest prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example

 

Six months ended June 30, 2017

CREF Equity Index Account Beginning
account value
(1/1/17
) Ending
account value
(6/30/17
) Expenses paid
during period
(1/1/17–6/30/17
*
)
Actual return            
Class R1 $1,000.00   $1,086.11   $3.05  
Class R2 1,000.00   1,087.57   1.66  
Class R3 1,000.00   1,088.04   1.24  
5% annual hypothetical return            
Class R1 1,000.00   1,021.87   2.96  
Class R2 1,000.00   1,023.21   1.61  
Class R3 1,000.00   1,023.60   1.20  

 

* “Expenses paid during period” is based on the account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2017. The account’s annualized six-month expense ratios for that period were 0.59% for Class R1, 0.32% for Class R2 and 0.24% for Class R3.

 

For more information about this expense example, please see page 9.

 

20 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Equity Index Account

 

Account profile  
  as of 6/30/2017
Net assets $18.37 billion
Portfolio turnover rate 4%
Number of holdings 2,992
Weighted median market capitalization $60.56 billion
Price/earnings ratio (weighted 12-month trailing average) 26.3

 

Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.

 

Portfolio composition  
  % of net assets
Sector as of 6/30/2017
Information technology 21.0
Financials 15.2
Health care 14.0
Consumer discretionary 12.6
Industrials 10.7
Consumer staples 8.0
Energy 5.6
Real estate 4.1
Materials 3.4
Utilities 3.2
Telecommunication services 2.0
Short-term investments, other assets & liabilities, net 0.2
Total 100.0
Holdings by company size
  % of equity investments
Market capitalization as of 6/30/2017
More than $50 billion 54.2
More than $15 billion–$50 billion 21.7
More than $2 billion–$15 billion 19.9
$2 billion or less 4.2
Total 100.0


 

College Retirement Equities Fund  ■  2017 Semiannual Report 21
 

CREF Bond Market Account

 

Performance for the six months ended June 30, 2017

 

The CREF Bond Market Account returned 2.42% for the period, compared with 2.27% for its benchmark, the Bloomberg Barclays U.S. Aggregate Bond Index. For the twelve months ended June 30, 2017, the account returned 0.22%, versus –0.31% for the index. (All returns for the account are for Class R1.)

During the six-month period, the domestic economy continued to grow, but at a slower pace. The national unemployment rate touched a 16-year low of 4.3% in May and ended the period slightly higher at 4.4%. Consumer spending growth was modest, while consumer confidence remained upbeat. Inflation remained stable, with annual core inflation, which includes all items except food and energy, rising 1.7% for the twelve months ended June 30, 2017. The price of oil declined during the period and the U.S. dollar fell slightly against other major international currencies.

The Federal Reserve raised the federal funds target rate twice during the period, first to 0.75%–1.00% and then to 1.00%–1.25%. The Fed’s actions contributed to rising yields on short-term U.S. Treasury securities, but yields on 10- and 30-year Treasury bonds fell during the period, reflecting potential concerns about the pace of growth in the second half of 2017 (bond yields move in the opposite direction of prices). Among specific sectors, corporates and municipals continued to have solid returns. Around the world, central bankers in Europe, the United Kingdom and Japan maintained low interest rates and left asset-purchasing programs in place.

 

Corporate bonds help the account to outperform its benchmark

 

For the six-month period, the benchmark’s returns were driven primarily by corporate bonds, which gained 3.8% and accounted for 25.5% of the index’s total market capitalization. U.S. Treasuries, the largest index sector at 36.4%, and mortgage-backed securities, with a weighting of 27.8%, rose 1.9% and 1.4%, respectively. All sectors in the benchmark had positive performance, with notable gains from municipals, which returned 5.4%, and government credit securities, which returned 3.1%.

The account outperformed during the period, primarily due to an overweight position and favorable yield curve positioning in corporate bonds. The commercial mortgage-backed securities sector was the next-largest contributor, benefiting from favorable security selection and yield curve positioning, followed by asset-backed securities, in which yield curve positioning was also the primary factor aiding the account’s relative performance.

The gains from those sectors were partially offset by unfavorable yield curve positioning in the U.S Treasury sector. A small cash position and unfavorable yield curve positioning in mortgage-backed securities further detracted from the account’s relative performance.

 

22 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Bond Market Account

 

Performance as of June 30, 2017

 

CREF Bond Market Account      Average annual  Estimated
annual
 
         Total return  total return  operating 
   Ticker  Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  QCBMRX  3/1/1990   2.42%   0.22%   2.30%   4.13%   0.675%
Class R2  QCBMPX  4/24/2015   2.56    0.50    2.42   4.19   0.400 
Class R3  QCBMIX  4/24/2015   2.61    0.59    2.47   4.21   0.290 
Bloomberg Barclays U.S. Aggregate Bond Index     2.27    –0.31    2.21    4.48     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the accounts’ latest prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example

 

Six months ended June 30, 2017

CREF Bond Market Account Beginning
account value
(1/1/17
) Ending
account value
(6/30/17
) Expenses paid
during period
(1/1/17–6/30/17
*
)
Actual return            
Class R1 $1,000.00   $1,024.23   $3.36  
Class R2 1,000.00   1,025.61   1.96  
Class R3 1,000.00   1,026.06   1.56  
5% annual hypothetical return            
Class R1 1,000.00   1,021.47   3.36  
Class R2 1,000.00   1,022.86   1.96  
Class R3 1,000.00   1,023.26   1.56  

 

* “Expenses paid during period” is based on the account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2017. The account’s annualized six-month expense ratios for that period were 0.67% for Class R1, 0.39% for Class R2 and 0.31% for Class R3.

 

For more information about this expense example, please see page 9.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 23
 

CREF Bond Market Account

 

Account profile  
  as of 6/30/2017
Net assets $13.69 billion
Portfolio turnover rate 88%
Portfolio turnover rate, excluding mortgage dollar roll transactions 49%
Number of issues 1,828
Option-adjusted duration 5.82 years
Average maturity 8.07 years

 

Option-adjusted duration estimates how much the value of a bond portfolio would be affected by a change in prevailing interest rates, taking into account the options embedded in the individual securities. The longer a portfolio’s duration, the more sensitive it is to changes in interest rates.
Average maturity is a simple average of the maturities of all the bonds in an account’s portfolio. The maturity of a bond is the amount of time until the bond’s principal becomes due or payable.

 

Portfolio composition  
% of net assets as of 6/30/2017
Corporate bonds 26.3
Mortgage-backed securities 19.7
Foreign government & corporate bonds denominated in U.S. dollars 14.9
U.S. Treasury securities 14.4
Asset-backed securities 9.1
Commercial mortgage-backed securities 8.2
Municipal bonds 3.2
U.S. agency securities 1.5
Bank loan obligations 0.7
Preferred stock 0.1
Short-term investments, other assets & liabilities, net 1.9
Total 100.0
Holdings by maturity
  % of fixed-income investments
(excluding short-term investments)
as of 6/30/2017
Less than 1 year 7.0
1–3 years 12.3
3–5 years 21.3
5–10 years 43.4
Over 10 years 16.0
Total 100.0

 

 

Holdings by credit quality#
  % of fixed-income investments
(excluding short-term investments)
as of 6/30/2017
Aaa/AAA 46.9
Aa/AA 7.7
A/A 14.0
Baa/BBB 23.7
Ba/BB 3.5
B/B 2.0
Below B/B 1.3
Non-rated 0.9
Total 100.0

 

# Credit quality ratings are based on the Bloomberg Barclays methodology, which uses the median rating of those compiled by the Moody’s, Standard & Poor’s and Fitch ratings agencies. If ratings are available from only two of these agencies, the lower rating is used. When only one rating is available, that one is used. These ratings are subject to change without notice.


 

24 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Inflation-Linked Bond Account

 

Performance for the six months ended June 30, 2017

 

The CREF Inflation-Linked Bond Account returned 0.45% for the period, compared with the 0.65% return of its benchmark, the Bloomberg Barclays U.S. Treasury Inflation Protected Securities (TIPS) 1–10 Year Index. For the twelve months ended June 30, 2017, the account returned –0.82% versus –0.26% for the index. (All returns for the account are for Class R1.)

During the six-month period, the domestic economy continued to grow, but at a slower pace. The national unemployment rate touched a 16-year low of 4.3% in May and ended the period slightly higher at 4.4%. Consumer spending growth was modest, while consumer confidence remained upbeat. Year-over-year core inflation, which is measured by the Consumer Price Index and includes all items except food and energy, decreased from 2.2% in December 2016 to 1.7% as of June 30, 2017. Crude oil prices, a commonly used indicator of inflationary pressures, fell almost 15% from just under $54 per barrel at the start of the period to $46 on June 30, 2017.

The Federal Reserve raised the federal funds target rate twice during the period, first to 0.75%–1.00% and then to 1.00%–1.25%. The Fed’s actions contributed to rising yields on short-term U.S. Treasury securities, but yields on 10- and 30-year Treasury bonds fell during the period, reflecting potential concerns about the pace of growth in the second half of 2017 (bond yields move in the opposite direction of prices).

 

TIPS trail the broader market

 

For the six months, the return of the TIPS 1–10 Year Index trailed the 2.27% return of the broad U.S. investment-grade fixed-rate bond market, as measured by the Bloomberg Barclays U.S. Aggregate Bond Index. Modest economic growth and low inflation led to gains from most fixed-income securities, particularly those with longer maturities.

The account underperformed its benchmark primarily due to its expense charge. The account’s return includes a deduction for expenses, while the benchmark’s does not. Since the account’s portfolio resembled the composition of its benchmark, the above discussion of the benchmark’s performance also applies to the account’s performance.

During the period, the account’s portfolio managers kept the account’s duration—a measure of its sensitivity to interest-rate changes—close to that of the TIPS 1–10 Year Index. This strategy helped the account’s risk and reward characteristics to more closely resemble those of its benchmark.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 25
 

CREF Inflation-Linked Bond Account

 

Performance as of June 30, 2017

 

CREF Inflation-Linked Bond Account      Average annual  Estimated
annual
 
         Total return  total return  operating 
   Ticker  Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  QCILRX  5/1/1997   0.45%   –0.82%   –0.26%   3.74%   0.625%
Class R2  QCILPX  4/24/2015   0.59    –0.54    –0.14   3.81   0.350 
Class R3  QCILIX  4/24/2015   0.63    –0.45    –0.10   3.83   0.240 
Bloomberg Barclays U.S. Treasury Inflation Protected Securities (TIPS) 1–10 Year Index     0.65    –0.26    0.28    3.57     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the accounts’ latest prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.

 

Expense example

 

Six months ended June 30, 2017

CREF Inflation-Linked
Bond Account
Beginning
account value
(1/1/17
) Ending
account value
(6/30/17
) Expenses paid
during period
(1/1/17–6/30/17
*
)
Actual return            
Class R1 $1,000.00   $1,004.54   $2.98  
Class R2 1,000.00   1,005.89   1.64  
Class R3 1,000.00   1,006.33   1.19  
5% annual hypothetical return            
Class R1 1,000.00   1,021.82   3.01  
Class R2 1,000.00   1,023.16   1.66  
Class R3 1,000.00   1,023.60   1.20  

 

* “Expenses paid during period” is based on the account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2017. The account’s annualized six-month expense ratios for that period were 0.60% for Class R1, 0.33% for Class R2 and 0.24% for Class R3.

 

For more information about this expense example, please see page 9.

 

26 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Inflation-Linked Bond Account

 

Account profile  
  as of 6/30/2017
Net assets $6.67 billion
Portfolio turnover rate 12%
Number of issues 45
Option-adjusted duration 5.30 years
Average maturity 5.60 years

 

Option-adjusted duration estimates how much the value of a bond portfolio would be affected by a change in prevailing interest rates, taking into account the options embedded in the individual securities. The longer a portfolio’s duration, the more sensitive it is to changes in interest rates.
Average maturity is a simple average of the maturities of all the bonds in an account’s portfolio. The maturity of a bond is the amount of time until the bond’s principal becomes due or payable.

 

Portfolio composition  
  % of net assets
as of 6/30/2017
U.S. Treasury securities 98.5
U.S. agency securities 0.6
Mortgage-backed securities 0.2
Foreign government & corporate bonds denominated in U.S. dollars 0.1
Short-term investments, other assets & liabilities, net 0.6
Total 100.0
Holdings by maturity
  % of fixed-income investments
(excluding short-term investments)
as of 6/30/2017
Less than 1 year 1.9
1–3 years 21.2
3–5 years 27.7
5–10 years 37.6
Over 10 years 11.6
Total 100.0


 

College Retirement Equities Fund  ■  2017 Semiannual Report 27
 

CREF Social Choice Account

 

Performance for the six months ended June 30, 2017

 

The CREF Social Choice Account returned 6.87% for the period, compared with the 6.92% return of its composite benchmark, a weighted average of the Russell 3000® Index, the MSCI EAFE+Canada Index and the Bloomberg Barclays U.S. Aggregate Bond Index. For the twelve months ended June 30, 2017, the account returned 10.60% versus 10.87% for the benchmark. The account uses certain social criteria, while the benchmark does not. (All returns for the account are for Class R1.)

Because of its social criteria, the account did not invest in a number of stocks and bonds that were included in the indexes that comprise its composite benchmark. Avoiding these companies produced mixed results, but the net effect was that the account performed in line with its benchmark.

The account’s domestic holdings slightly outperformed the Russell 3000 Index component of its benchmark. Among stocks the account excluded, avoiding Exxon Mobil, General Electric and AT&T contributed the most, while exclusions of Apple, Amazon.com and Facebook were the biggest detractors. The account’s international holdings underperformed the MSCI EAFE+Canada Index. Avoiding Swiss food and beverage company Nestlé, Spanish banking services provider Banco Santander and Pan-Asian life insurance firm AIA Group detracted. However, omitting some MSCI index stocks—namely energy giant Royal Dutch Shell, Japanese auto manufacturer Toyota and British oil and natural gas producer BP—aided the account’s performance relative to this index.

 

Stock decisions kept performance in line with the benchmark

 

To compensate for the account’s exclusion of some stocks, its managers use quantitative (mathematical) modeling and other techniques in an attempt to match the overall investment characteristics of the portfolio with those of its composite benchmark.

Among domestic companies held in the account, notable contributors to performance versus the Russell 3000 Index were overweight investments in electric car maker Tesla, computer graphics company NVIDIA and information technology firm Altaba. By contrast, overweights in AutoZone, Verizon and Schlumberger all detracted.

Compared to the MSCI EAFE+Canada Index, the account’s main detractors were overweight holdings in Canada-based integrated oil company Cenovus Energy, British telecommunications firm BT Group and Japanese automaker Subaru. On the upside, overweights in French luxury goods company Kering, Italian bank Intesa Sanpaolo and Swedish auto maker Volvo were all beneficial.

The account’s fixed-income component outperformed the Bloomberg Barclays U.S. Aggregate Bond Index, which gained 2.27% for the six months. The account’s top contributors were municipal, government agency and corporate bonds. The account’s allocation to U.S. Treasury securities detracted the most.

 

28 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Social Choice Account

 

Performance as of June 30, 2017

 

CREF Social Choice Account      Average annual  Estimated
annual
 
         Total return  total return  operating 
   Ticker  Inception date  6 months   1 year   5 years   10 years   expenses*
Class R1  QCSCRX  3/1/1990   6.87%   10.60%   8.36%   5.36%   0.650%
Class R2  QCSCPX  4/24/2015   7.01    10.90    8.50   5.42   0.375 
Class R3  QCSCIX  4/24/2015   7.06    11.01    8.54   5.44   0.265 
CREF Social Choice Composite Benchmark     6.92    10.87    8.70    5.57     
Broad market index
Russell 3000® Index
     8.93    18.51    14.58    7.26     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You cannot invest directly in any index. Index returns do not include a deduction for fees or expenses.

 

* The estimated annual operating expenses are taken from the accounts’ latest prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.
On June 30, 2017, the CREF Social Choice Composite Benchmark consisted of: 42.0% Russell 3000 Index; 40.0% Bloomberg Barclays U.S. Aggregate Bond Index; and 18.0% MSCI EAFE+Canada Index. The account’s benchmark, the components that make up the composite benchmark and the method of calculating the composite benchmark’s performance may vary over time.

 

Expense example

 

Six months ended June 30, 2017

CREF Social Choice Account Beginning
account value
(1/1/17
) Ending
account value
(6/30/17
) Expenses paid
during period
(1/1/17–6/30/17
*
)
Actual return            
Class R1 $1,000.00   $1,068.67   $3.23  
Class R2 1,000.00   1,070.11   1.85  
Class R3 1,000.00   1,070.58   1.39  
5% annual hypothetical return            
Class R1 1,000.00   1,021.67   3.16  
Class R2 1,000.00   1,023.01   1.81  
Class R3 1,000.00   1,023.46   1.35  

 

* “Expenses paid during period” is based on the account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2017. The account’s annualized six-month expense ratios for that period were 0.63% for Class R1, 0.36% for Class R2 and 0.27% for Class R3.

 

For more information about this expense example, please see page 9.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 29
 

CREF Social Choice Account

 

Account profile  
  as of 6/30/2017
Net assets $13.97 billion
Portfolio turnover rate 37%
Portfolio turnover rate, excluding mortgage dollar roll transactions 21%

 

Equity segment U.S. International
Number of holdings 838 364
Weighted median market capitalization $45.29 billion $31.64 billion
Price/earnings ratio (weighted 12-month trailing average) 25.4 17.4
Fixed-income segment    
Number of issues   781
Option-adjusted duration   5.73 years
Average maturity§   8.84 years

 

Price/earnings ratio is the price of a stock divided by its earnings per share for the past twelve-month period.
Option-adjusted duration estimates how much the value of a bond portfolio would be affected by a change in prevailing interest rates, taking into account the options embedded in the individual securities. The longer a portfolio’s duration, the more sensitive it is to changes in interest rates.
§ Average maturity is a simple average of the maturities of all the bonds in an account’s portfolio. The maturity of a bond is the amount of time until the bond’s principal becomes due or payable.
Portfolio composition  
  % of net assets
  as of 6/30/2017
Equities 60.1
Long-term bonds 39.2
Short-term investments, other assets & liabilities, net 0.7
Total 100.0

 

Holdings by company size
  % of equity investments
Market capitalization as of 6/30/2017
More than $50 billion 40.9
More than $15 billion–$50 billion 39.2
More than $2 billion–$15 billion 17.4
$2 billion or less 2.5
Total 100.0

 

Holdings by maturity
  % of fixed-income investments
  (excluding short-term investments)
  as of 6/30/2017
Less than 1 year 5.2
1–3 years 15.0
3–5 years 18.9
5–10 years 39.4
Over 10 years 21.5
Total 100.0


 

30 2017 Semiannual Report  ■  College Retirement Equities Fund
 

CREF Money Market Account

 

Performance for the six months ended June 30, 2017

 

The CREF Money Market Account returned 0.05% for the period, compared with the 0.15% return of the iMoneyNet Money Fund Averages™—All Government, a simple average of over 500 money market funds that invest in short-term U.S. government securities. The iMoneyNet average is not an index, and its return reflects the deduction of expenses charged by the funds included in the average. (All returns for the account are for Class R1.)

During the six-month period, the domestic economy continued to grow, but at a slower pace. The national unemployment rate touched a 16-year low of 4.3% in May and ended the period slightly higher at 4.4%. Consumer spending growth was modest, while consumer confidence remained upbeat. Inflation remained stable, with annual core inflation, which includes all items except food and energy, rising 1.7% for the twelve months ended June 30, 2017.

The Federal Reserve raised the federal funds target rate twice during the period, first to 0.75%–1.00% and then to 1.00%–1.25%. As a result of the Fed’s actions and signals, yields on LIBOR—a key interest-rate benchmark for money market funds—saw impressive gains. For the six months, one-month LIBOR yields increased substantially, rising from 0.77% on January 3, 2017, to 1.22% on June 30, 2017. Over the same period, three-month LIBOR rose from 1.00% to 1.30%; six-month LIBOR rose from 1.32% to 1.45%; and twelve-month LIBOR rose from 1.69% to 1.74%. (LIBOR is an indication of the interest rates that banks offer to lend funds to one another in the international interbank market and is the most widely used benchmark for short-term rates.)

 

The account shows a positive return but lags the iMoneyNet average

 

In this environment of rising interest rates, the return of the Money Market Account lagged that of the iMoneyNet government fund average for the six-month period, primarily due to the effect of expenses. In pursuit of additional yield, the account sought to purchase floating-rate government agency paper. This strategy was generally successful due to the increase in short-term interest rates during the period (floating-rate securities adjust more quickly to interest-rate changes than fixed-rate securities). As of June 27, 2017, the account’s weighted average maturity was 49 days, versus 33 days for the iMoneyNet government fund average, and this positioning was generally helpful for the account’s performance. (iMoneyNet releases their data on a weekly basis, and June 27 was the last date of release for the month.)

In response to the historically low interest rates since 2009, part or all of the 12b-1 distribution and/or administrative expenses for Class R1 of the Money Market Account were voluntarily waived by TIAA for part of the reporting period. Class R2 and Class R3 did not waive expenses during the reporting period. For more information, please see page 32 or the Notes to the Financial Statements.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 31
 
 

CREF Money Market Account

 

Net annualized yield for the 7 days ended June 27, 2017*

   Current yield   Effective yield 
CREF Money Market Account        
Class R1   0.27%   0.27%
Class R2   0.50    0.50 
Class R3   0.55    0.55 
iMoneyNet Money Fund Averages™—All Government   0.52    0.52 

 

The current yield more closely reflects current earnings than does the total return.

* Typically, iMoneyNet reports its 7-day yields as of Tuesday of each week.

 

Performance as of June 30, 2017

                       
CREF Money Market Account                   Estimated 
            Average annual   annual 
         Total return   total return   operating 
   Ticker  Inception date  6 months   1 year   5 years   10 years   expenses§
Class R1  QCMMRX  4/1/1988   0.05%   0.05%   0.01%   0.50%   0.615%
Class R2  QCMMPX  4/24/2015   0.14    0.18    0.04#   0.51#   0.340 
Class R3  QCMMIX  4/24/2015   0.18    0.25    0.06#   0.52#   0.230 
iMoneyNet Money Fund
Averages—All Government
        0.15    0.20    0.05    0.41     

 

The returns in this report show past performance, which is no guarantee of future results. Returns and the principal value of your investment will fluctuate. Current performance may be higher or lower than that shown, and you may have a gain or a loss when you redeem your accumulation units. For current performance information, including performance to the most recent month-end, please visit TIAA.org.

 

You could lose money by investing in the Money Market Account. Because the accumulation unit value of the account will fluctuate, the value of your investment may increase or decrease. An investment in the account is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other government agency. The account’s sponsor has no legal obligation to provide support to the account, and you should not expect that the sponsor will provide financial support to the account at any time. The current yield more closely reflects current earnings than does the total return.

 

Note: Unlike most money market funds, the CREF Money Market Account does not distribute income on a daily basis. Therefore, the account does not maintain a constant value of $1.00 per accumulation unit.

 

Between July 16, 2009 and April 14, 2017, TIAA agreed to voluntarily withhold (“waive”) a portion of the 12b-1 distribution and/or administrative expenses for each class of the CREF Money Market Account when a class’s yield was less than zero. Without this waiver, the effective yields and total returns of the Money Market Account would have been lower. TIAA may, for a period of three years after the date an amount was waived, recover from the Money Market Account a portion of the amounts waived at such time as the class’s daily yield would be positive absent the effect of the waiver, and in such event the amount of recovery on any day will be approximately 25% of the class’s yield (net of all other expenses) on that day. As a result of the share class conversion on April 24, 2015, previously recoverable amounts have been allocated to the various classes.
§ The estimated annual operating expenses are taken from the account’s latest prospectus. Expenses are estimated each year based on projected expense and asset levels. Differences between actual expenses and the estimate are adjusted quarterly and are reflected in current investment results.
# The performance shown for Classes R2 and R3 that is prior to their inception date is based on performance of the Account’s Class R1. The performance for these periods has not been restated to reflect the lower expenses of the Classes R2 and R3. If those expenses had been reflected, the performance would have been higher.
The iMoneyNet Money Fund Averages—All Government is a simple average of over 500 money market funds that invest in U.S. Treasuries, U.S. Agencies, repurchase agreements and government-backed floating rate

 

32 2017 Semiannual Report  ■  College Retirement Equities Fund
 
 

CREF Money Market Account

 

notes, and you cannot invest directly in it. Effective October 1, 2016, the iMoneyNet Money Fund Averages—All Taxable peer group was changed to the iMoneyNet Money Fund Averages—All Government.

 

Expense example

 

Six months ended June 30, 2017

   Beginning   Ending   Expenses paid 
   account value   account value   during period*
CREF Money Market Account  (1/1/17)  (6/30/17)  (1/1/17–6/30/17)
Actual return               
Class R1   $1,000.00    $1,000.47    $3.03 
Class R2   1,000.00    1,001.44    2.08 
Class R3   1,000.00    1,001.76    1.74 
5% annual hypothetical return               
Class R1   1,000.00    1,021.77    3.06 
Class R2   1,000.00    1,022.71    2.11 
Class R3   1,000.00    1,023.06    1.76 

 

* “Expenses paid during period” is based on the account’s actual expense ratio for the most recent fiscal half-year, multiplied by the average account value over the six-month period, multiplied by 181/365. There were 181 days in the six months ended June 30, 2017. The account’s annualized six-month expense ratios for that period were 0.61% for Class R1, 0.42% for Class R2 and 0.35% for Class R3. The expense charges of the account reflect a voluntary waiver. Without this waiver, the expenses of the account would have been higher and its performance lower. This waiver was terminated on April 14, 2017.

 

For more information about this expense example, please see page 9.

 

Account profile

   as of 6/30/2017
Net assets   $9.57 billion
      
Number of holdings   227

Portfolio composition

   % of net assets
   as of 6/30/2017
U.S. government agency securities   59.6
      
U.S. Treasury securities   21.1
Floating-rate securities, government   19.3
Total   100.0


 

College Retirement Equities Fund  ■  2017 Semiannual Report 33
 
 

Summary portfolio of investments (unaudited)

 

CREF Stock Account  ■  June 30, 2017

 

            Value   % of net  
Principal     Issuer     (000)   assets  
BONDS
CORPORATE BONDS
DIVERSIFIED FINANCIALS     $327    0.0%
       TOTAL CORPORATE BONDS  (Cost $466)   327    0.0 
                     
GOVERNMENT BONDS
U.S. TREASURY SECURITIES         298       0.0  
       TOTAL GOVERNMENT BONDS  (Cost $302)   298    0.0 
         TOTAL BONDS  (Cost $768)   625    0.0 
                       
 Shares     Company               
COMMON STOCKS
AUTOMOBILES & COMPONENTS         2,205,162       1.8  
BANKS
 43,254,482  n  Bank of America Corp      1,049,354    0.9 
 8,460,352     Citigroup, Inc      565,828    0.5 
 12,626,924     JPMorgan Chase & Co      1,154,101    1.0 
 17,661,819     Wells Fargo & Co      978,641    0.8 
       Other      6,972,636    5.8 
              10,720,560    9.0 
CAPITAL GOODS
 2,612,596     3M Co      543,916    0.5 
 22,010,495     General Electric Co      594,503    0.5 
 4,631,541     Honeywell International, Inc      617,338    0.5 
       Other      7,935,681    6.6 
              9,691,438    8.1 
COMMERCIAL & PROFESSIONAL SERVICES         1,146,272       1.0  
CONSUMER DURABLES & APPAREL         2,509,134       2.0  
CONSUMER SERVICES
 2,332,858     McDonald’s Corp      357,300    0.3 
       Other      2,366,511    2.0 
              2,723,811    2.3 
DIVERSIFIED FINANCIALS
 8,505,602     Morgan Stanley      379,010    0.3 
       Other      3,785,923    3.2 
              4,164,933    3.5 
ENERGY
 5,519,549     Chevron Corp      575,854    0.5 
 4,840,683     EOG Resources, Inc      438,179    0.3 
 10,261,254  d  Exxon Mobil Corp      828,391    0.7 
       Other      5,271,693    4.5 
              7,114,117    6.0 

 

34 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2017

 

              Value    % of net  
 Shares     Company      (000)    assets  
FOOD & STAPLES RETAILING
 5,078,299     Wal-Mart Stores, Inc     $384,326    0.3%
       Other      1,241,025    1.1 
              1,625,351    1.4 
FOOD, BEVERAGE & TOBACCO
 4,680,242     Altria Group, Inc      348,538    0.3 
 7,751,632     Coca-Cola Co      347,661    0.3 
 3,901,416     PepsiCo, Inc      450,574    0.4 
 4,640,316     Philip Morris International, Inc      545,005    0.5 
       Other      4,245,386    3.5 
              5,937,164    5.0 
HEALTH CARE EQUIPMENT & SERVICES
 8,070,953     Abbott Laboratories      392,329    0.3 
 2,859,226     UnitedHealth Group, Inc      530,158    0.5 
       Other      4,344,463    3.6 
              5,266,950    4.4 
HOUSEHOLD & PERSONAL PRODUCTS
 6,487,029     Procter & Gamble Co      565,345    0.4 
       Other      1,403,708    1.2 
              1,969,053    1.6 
INSURANCE
 7,962,092     American International Group, Inc      497,790    0.4 
 4,353,452  *  Berkshire Hathaway, Inc (Class B)      737,344    0.6 
 3,292,111     Chubb Ltd      478,607    0.4 
       Other      3,271,072    2.8 
              4,984,813    4.2 
MATERIALS
 7,232,297     Dow Chemical Co      456,141    0.4 
       Other      5,565,822    4.6 
              6,021,963    5.0 
MEDIA                   
 17,945,833     Comcast Corp (Class A)      698,452    0.6 
 4,466,857     Walt Disney Co      474,604    0.4 
       Other      1,999,251    1.7 
              3,172,307    2.7 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES
 1,612,749     Allergan plc      392,043    0.3 
 2,675,911  *  Celgene Corp      347,520    0.3 
 8,594,835     Johnson & Johnson      1,137,011    0.9 
 8,649,744     Merck & Co, Inc      554,362    0.5 
 16,661,227     Pfizer, Inc      559,651    0.5 
       Other      5,975,734    5.0 
              8,966,321    7.5 
REAL ESTATE     4,394,183    3.7 

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 35
 
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2017

 

             Value     % of net  
Shares      Company     (000)     assets  
RETAILING
 1,378,135  *  Amazon.com, Inc     $1,334,035     1.1 %
 4,709,319  n  Home Depot, Inc      722,410     0.6  
       Other      2,775,470     2.3  
              4,831,915     4.0  
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT
 1,640,384  n  Broadcom Ltd      382,292     0.3  
 11,052,128  n  Intel Corp      372,899     0.3  
 170,651     Samsung Electronics Co Ltd      355,435     0.3  
       Other      2,815,109     2.4  
              3,925,735     3.3  
SOFTWARE & SERVICES
 912,746  *  Alphabet, Inc (Class A)      848,562     0.7  
 1,090,951  *  Alphabet, Inc (Class C)      991,380     0.8  
 7,810,601  *  Facebook, Inc      1,179,244     1.0  
 21,613,229  n  Microsoft Corp      1,489,800     1.2  
 13,127,588     Oracle Corp      658,217     0.6  
 4,500,183  *  salesforce.com, Inc      389,716     0.3  
 10,756,714     Tencent Holdings Ltd      385,896     0.3  
 7,431,192     Visa, Inc (Class A)      696,897     0.6  
       Other      6,152,587     5.2  
              12,792,299     10.7  
TECHNOLOGY HARDWARE & EQUIPMENT
 16,228,502  l,n  Apple, Inc      2,337,229     1.9  
 17,825,947  n  Cisco Systems, Inc      557,952     0.5  
       Other      2,637,473     2.2  
              5,532,654     4.6  
TELECOMMUNICATION SERVICES
 19,538,088     AT&T, Inc      737,172     0.6  
 12,045,251     Verizon Communications, Inc      537,941     0.5  
       Other      1,598,441     1.3  
              2,873,554     2.4  
TRANSPORTATION
 4,041,115     Union Pacific Corp      440,118     0.4  
       Other      2,315,630     1.9  
              2,755,748     2.3  
UTILITIES      3,319,583     2.8  
       TOTAL COMMON STOCKS  (Cost $102,451,562)   118,645,020     99.3  
                       
PURCHASED OPTIONS                
DIVERSIFIED FINANCIALS      181     0.0  
FOOD, BEVERAGE & TOBACCO      2     0.0  
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES      76     0.0  
RETAILING      15     0.0  

 

36 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
 
Summary portfolio of investments (unaudited) continued

 

CREF Stock Account  ■  June 30, 2017

 

         Value   % of net  
Shares  Company     (000)   assets  
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT    $ 0^   0.0%
SOFTWARE & SERVICES     1,584    0.0 
TECHNOLOGY HARDWARE & EQUIPMENT      1    0.0 
TOTAL PURCHASED OPTIONS  (Cost $2,319)   1,859    0.0 
              
PREFERRED STOCKS             
BANKS      19,211    0.0 
CAPITAL GOODS      106    0.0 
DIVERSIFIED FINANCIALS      2,362    0.0 
ENERGY      391    0.0 
MATERIALS      60    0.0 
REAL ESTATE      17    0.0 
TOTAL PREFERRED STOCKS  (Cost $24,148)   22,147    0.0 
              
RIGHTS / WARRANTS             
AUTOMOBILES & COMPONENTS      1,450    0.0 
CAPITAL GOODS      14    0.0 
CONSUMER DURABLES & APPAREL      289    0.0 
DIVERSIFIED FINANCIALS      6,949    0.0 
ENERGY      108    0.0 
FOOD, BEVERAGE & TOBACCO      5    0.0 
FOOD & STAPLES RETAILING      0    0.0 
HEALTH CARE EQUIPMENT & SERVICES     4    0.0 
MEDIA      10    0.0 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES      67    0.0 
REAL ESTATE      37    0.0 
SOFTWARE & SERVICES      174    0.0 
TELECOMMUNICATION SERVICES      17    0.0 
TRANSPORTATION      0^   0.0 
TOTAL RIGHTS / WARRANTS  (Cost $8,494)   9,124    0.0 
              
Principal  Issuer               
SHORT-TERM INVESTMENTS             
GOVERNMENT AGENCY DEBT      157,663    0.1 
TREASURY DEBT      508,598    0.4 

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 37
 
 
Summary portfolio of investments (unaudited) concluded

 

CREF Stock Account  ■  June 30, 2017

 

              Value   % of net  
  Principal     Issuer     (000)   assets  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
CERTIFICATE OF DEPOSIT     $480,000    0.4%
REPURCHASE AGREEMENT             
$ 360,000,000  r  Royal Bank of Scotland  1.06%, 07/07/17   360,000    0.3 
     s  Other Repurchase Agreements   1.000%–1.130%, 07/03/17–07/07/17   1,526,706    1.3 
               1,886,706    1.6 
VARIABLE RATE SECURITIES      71,232    0.1 
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED      2,437,938    2.1 
        TOTAL SHORT-TERM INVESTMENTS  (Cost $3,104,329)   3,104,199    2.6 
                      
        TOTAL PORTFOLIO  (Cost $105,591,620)   121,782,974    101.9 
        OTHER ASSETS & LIABILITIES, NET      (2,246,406)   (1.9)
        NET ASSETS     $119,536,568    100.0%

 

 

 

* Non-income producing
^ Amount represents less than $1,000.
d All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
l All or a portion of these securities have been segregated by the custodian to cover collateral requirements on swap agreements.
n All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts.
r Agreement with Royal Bank of Scotland, 1.06% dated 6/30/17 to be repurchased at $360,000,000 on 7/7/17, collateralized by U.S. Government Agency Securities valued at $367,204,000.
s Agreements, 1.00%–1.13% dated 6/29/17–6/30/17 to be repurchased at $1,526,706,000 on 7/3/17–7/7/17, collateralized by U.S. Government Agency Securities valued at $1,557,257,000.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/17, the aggregate value of securities on loan is $2,307,764,000.

 

At 6/30/17, the aggregate value of securities exempt from registration under Rule 144(A) of the Securities Act of 1933 amounted to $590,172,000 or 0.5% of net assets. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

38 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary of market values by country (unaudited)

 

CREF Stock Account  ■  June 30, 2017

 

       % of  
   Value   total  
Country  (000)   portfolio  
DOMESTIC          
UNITED STATES  $85,467,046    70.2%
TOTAL DOMESTIC   85,467,046    70.2 
           
FOREIGN          
ARGENTINA   28,850    0.0 
AUSTRALIA   1,372,934    1.1 
AUSTRIA   227,060    0.2 
BELGIUM   169,484    0.2 
BERMUDA   131,375    0.1 
BRAZIL   579,749    0.5 
CANADA   2,381,709    2.0 
CAYMAN ISLANDS   5,194    0.0 
CHILE   98,214    0.1 
CHINA   2,407,611    2.0 
COLOMBIA   44,690    0.0 
CYPRUS   64    0.0 
CZECH REPUBLIC   20,881    0.0 
DENMARK   481,374    0.4 
EGYPT   17,004    0.0 
FAROE ISLANDS   4,528    0.0 
FINLAND   278,972    0.2 
FRANCE   3,012,430    2.5 
GEORGIA   5,893    0.0 
GERMANY   2,196,181    1.8 
GHANA   1,882    0.0 
GREECE   39,724    0.0 
GUERNSEY, C.I.   314    0.0 
HONG KONG   876,890    0.7 
HUNGARY   27,845    0.0 
INDIA   840,946    0.7 
INDONESIA   202,287    0.2 
IRELAND   352,903    0.3 
ISLE OF MAN   5,975    0.0 
ISRAEL   190,048    0.2 
ITALY   795,242    0.7 
JAPAN   5,903,355    4.8 
JERSEY, C.I.   12,103    0.0 
       % of
   Value   total
Country  (000)   portfolio
JORDAN  $758    0.0%
KOREA, REPUBLIC OF   1,368,339    1.1 
LUXEMBOURG   111,584    0.1 
MACAU   4,743    0.0 
MALAYSIA   179,467    0.1 
MALTA   8,354    0.0 
MEXICO   297,029    0.2 
MONACO   7,912    0.0 
NETHERLANDS   1,249,198    1.0 
NEW ZEALAND   96,992    0.1 
NORWAY   198,869    0.2 
PAKISTAN   5,411    0.0 
PANAMA   16,043    0.0 
PERU   35,383    0.0 
PHILIPPINES   125,343    0.1 
POLAND   101,045    0.1 
PORTUGAL   42,068    0.0 
PUERTO RICO   30,608    0.0 
QATAR   39,716    0.0 
ROMANIA   3,001    0.0 
RUSSIA   217,369    0.2 
SINGAPORE   349,225    0.3 
SOUTH AFRICA   533,024    0.5 
SPAIN   683,702    0.6 
SRI LANKA   5,758    0.0 
SWEDEN   554,625    0.5 
SWITZERLAND   1,782,687    1.5 
TAIWAN   1,246,695    1.0 
THAILAND   205,733    0.2 
TURKEY   117,910    0.1 
UNITED ARAB EMIRATES   60,212    0.0 
UNITED KINGDOM   3,886,066    3.2 
URUGUAY   22,944    0.0 
ZAMBIA   14,404    0.0 
TOTAL FOREIGN   36,315,928    29.8 
 
TOTAL PORTFOLIO  $121,782,974    100.0%


 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 39
 

Summary portfolio of investments (unaudited)

 

CREF Global Equities Account  ■  June 30, 2017

          Value   % of net  
Shares      Company  (000)   assets  
COMMON STOCKS          
ARGENTINA  $6,592    0.0%
AUSTRALIA   278,282    1.5 
AUSTRIA   66,682    0.3 
BELGIUM   18,019    0.1 
BERMUDA   8,528    0.0 
BRAZIL   59,368    0.3 
CANADA   561,763    2.9 
CHILE   275    0.0 
CHINA   142,139    0.7 
CZECH REPUBLIC   3,797    0.0 
DENMARK   147,538    0.8 
FINLAND   104,933    0.5 
FRANCE   733,884    3.8 
GERMANY          
 460,008      Linde AG.   87,564    0.5 
        Other   445,892    2.3 
            533,456    2.8 
HONG KONG   159,138    0.8 
HUNGARY   11,067    0.1 
INDIA   64,860    0.3 
INDONESIA   1,410    0.0 
IRELAND   173,221    0.9 
ISRAEL   7,340    0.0 
ITALY   174,026    0.9 
JAPAN          
 2,774,360      Sony Corp   105,824    0.6 
 1,428,017      Toyota Motor Corp   75,062    0.4 
        Other   1,312,061    6.8 
            1,492,947    7.8 
JERSEY, C.I.   548    0.0 
JORDAN   192    0.0 
KOREA, REPUBLIC OF   45,737    0.2 
LUXEMBOURG   60,777    0.3 
MACAU   219    0.0 
MALAYSIA   9,313    0.1 
     
40 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Global Equities Account  ■  June 30, 2017

 

           Value   % of net  
Shares      Company  (000)   assets  
MEXICO  $5,144    0.0%
NETHERLANDS          
 617,578      ASML Holding NV   80,503    0.4 
 10,106,877      ING Groep NV   174,472    0.9 
        Other   233,908    1.2 
            488,883    2.5 
NEW ZEALAND   10,561    0.1 
NORWAY   71,292    0.4 
PERU   2,882    0.0 
PHILIPPINES   28,606    0.2 
POLAND   4,474    0.0 
PORTUGAL   13,962    0.1 
RUSSIA   4,350    0.0 
SINGAPORE   69,899    0.4 
SOUTH AFRICA   31,199    0.2 
SPAIN   169,148    0.9 
SWEDEN   106,731    0.6 
SWITZERLAND          
 382,828      Lonza Group AG.   82,927    0.4 
 977,017      Nestle S.A.   85,213    0.4 
 1,097,122      Novartis AG.   91,639    0.5 
        Other   242,102    1.3 
            501,881    2.6 
TAIWAN   75,608    0.4 
THAILAND   14,417    0.1 
UNITED KINGDOM          
 1,331,148      British American Tobacco plc   90,708    0.5 
        Other   900,671    4.7 
            991,379    5.2 
UNITED STATES          
 421,256      3M Co   87,701    0.5 
 2,008,196      Abbott Laboratories   97,618    0.5 
 340,283      Allergan plc   82,719    0.4 
 132,118 *  Alphabet, Inc (Class A)   122,828    0.6 
 183,714 *  Alphabet, Inc (Class C)   166,946    0.9 
 242,816 *  Amazon.com, Inc   235,046    1.2 
 2,860,042      Apple, Inc   411,903    2.1 
 2,742,993      AT&T, Inc   103,493    0.5 
 8,801,031      Bank of America Corp   213,513    1.1 
 589,467 *  Berkshire Hathaway, Inc (Class B)   99,838    0.5 
 278,653      Broadcom Ltd   64,940    0.3 
 915,890      Chevron Corp   95,555    0.5 
     
See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 41
 
Summary portfolio of investments (unaudited) continued

 

CREF Global Equities Account  ■  June 30, 2017

 

             Value   % of net  
Shares      Company      (000)   assets  
UNITED STATES—continued
 604,439      Cigna Corp     $101,177    0.5%
 4,117,848      Cisco Systems, Inc      128,889    0.7 
 4,572,789      Comcast Corp (Class A)      177,973    0.9 
 587,936 *  Concho Resources, Inc      71,452    0.4 
 1,506,307      Dow Chemical Co      95,003    0.5 
 930,308      Eli Lilly & Co      76,564    0.4 
 1,100,495      EOG Resources, Inc      99,617    0.5 
 1,671,771 d  Exxon Mobil Corp      134,962    0.7 
 1,397,361 *  Facebook, Inc      210,974    1.1 
 381,431      General Dynamics Corp      75,562    0.4 
 691,903      Home Depot, Inc      106,138    0.6 
 524,472      Honeywell International, Inc      69,907    0.4 
 1,896,509 e  iShares MSCI EAFE Index Fund      123,652    0.7 
 1,091,667      Johnson & Johnson      144,417    0.8 
 2,000,188      JPMorgan Chase & Co      182,817    1.0 
 590,608      McDonald’s Corp      90,458    0.5 
 3,713,771      Microsoft Corp      255,990    1.3 
 2,059,222      Oracle Corp      103,249    0.5 
 396,867      Parker-Hannifin Corp      63,427    0.3 
 1,228,430 *  PayPal Holdings, Inc      65,930    0.4 
 2,710,891      Pfizer, Inc      91,059    0.5 
 886,533      Philip Morris International, Inc      104,123    0.5 
 906,578      Union Pacific Corp      98,735    0.5 
 503,337      UnitedHealth Group, Inc      93,329    0.5 
 3,514,757      Wells Fargo & Co      194,753    1.0 
        Other      6,677,601    34.7 
               11,419,858    59.4 
URUGUAY      25,941    0.1 
ZAMBIA      2,659    0.0 
        TOTAL COMMON STOCKS  (Cost $16,405,604)   18,904,925    98.3 
                      
RIGHTS / WARRANTS
AUSTRALIA      0    0.0 
SPAIN      12    0.0 
        TOTAL RIGHTS / WARRANTS  (Cost $13)   12    0.0 
                      
 Principal      Issuer               
SHORT-TERM INVESTMENTS
GOVERNMENT AGENCY DEBT      3,100    0.0 
TREASURY DEBT            
$68,000,000      United States Treasury Bill  0.927%, 09/14/17   67,869    0.4 
 100,000,000      United States Treasury Bill  0.959%–0.989%, 09/21/17   99,786    0.5 
 67,900,000      United States Treasury Bill  0.999%, 09/28/17   67,734    0.3 
        Other      58,173    0.3 
               293,562    1.5 
     
42 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) concluded

 

CREF Global Equities Account  ■  June 30, 2017

 

             Value   % of net  
Principal      Issuer     (000)   assets  
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED
CERTIFICATE OF DEPOSIT     $68,000    0.4%
REPURCHASE AGREEMENTS             
$65,000,000   r  Royal Bank of Scotland    1.050%, 07/06/17   65,000    0.3 
     s  Other Repurchase Agreements  1.020%–1.130%, 07/03/17   270,193    1.4 
               335,193    1.7 
VARIABLE RATE SECURITIES      12,570    0.1 
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED      415,763    2.2 
        TOTAL SHORT-TERM INVESTMENTS  (Cost $712,440)   712,425    3.7 
                      
        TOTAL PORTFOLIO  (Cost $17,118,057)   19,617,362    102.0 
        OTHER ASSETS & LIABILITIES, NET      (389,539)   (2.0)
        NET ASSETS     $19,227,823    100.0%

 

 
   
* Non-income producing
d All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
e All or a portion of these securities are out on loan. The aggregate value of securities on loan is $404,691,000.
r Agreement with Royal Bank of Scotland, 1.05% dated 6/29/17 to be repurchased at $65,000,000 on 7/6/17, collateralized by U.S. Government Agency securities valued at $66,302,000.
s Agreements 1.02%–1.13% dated 6/29/17–6/30/17 to be repurchased at 270,193,000 on 7/3/17–7/7/17, collateralized by U.S. Government Agency Securities valued at $275,608,000.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/17, the aggregate value of securities exempt from registration under Rule 144(A) of the Securities Act of 1933 amounted to $169,460,000 or 0.9% of net assets. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 43
 

Summary of market values by sector (unaudited)

 

CREF Global Equities Account  ■  June 30, 2017

 

   Value   % of net  
Sector  (000)   assets  
FINANCIALS  $3,539,356    18.1%
INFORMATION TECHNOLOGY   3,224,647    16.8 
CONSUMER DISCRETIONARY   2,605,350    13.6 
HEALTH CARE   2,222,410    11.6 
INDUSTRIALS   2,203,037    11.5 
CONSUMER STAPLES   1,489,234    7.8 
MATERIALS   1,185,880    6.2 
ENERGY   1,165,051    6.1 
REAL ESTATE   437,844    2.3 
TELECOMMUNICATION SERVICES   422,864    2.2 
UTILITIES   409,264    2.1 
SHORT-TERM INVESTMENTS   712,425    3.7 
OTHER ASSETS & LIABILITIES, NET   (389,539)   (2.0)
NET ASSETS  $19,227,823    100.0%
     
44 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Growth Account  ■  June 30, 2017

 

Shares      Company  Value
(000)
   % of net
assets
 
COMMON STOCKS
AUTOMOBILES & COMPONENTS $303,080    1.3%
BANKS         
 4,334,266      Bank of America Corp   105,149    0.5 
        Other   119,182    0.5 
            224,331    1.0 
CAPITAL GOODS         
 728,035      3M Co   151,570    0.7 
 832,230      Boeing Co   164,574    0.7 
 1,309,891      Honeywell International, Inc   174,595    0.8 
 418,672      Northrop Grumman Corp   107,477    0.5 
 538,731      Roper Industries, Inc   124,732    0.5 
        Other   838,890    3.6 
            1,561,838    6.8 
COMMERCIAL & PROFESSIONAL SERVICES  156,288    0.7 
CONSUMER DURABLES & APPAREL         
 2,117,581      Nike, Inc (Class B)   124,938    0.6 
        Other   306,796    1.3 
            431,734    1.9 
CONSUMER SERVICES         
 1,250,946      Marriott International, Inc (Class A)   125,482    0.5 
 2,844,481      Starbucks Corp   165,862    0.7 
        Other   542,808    2.4 
            834,152    3.6 
DIVERSIFIED FINANCIALS         
 1,059,500      iShares Russell 1000 Growth Index Fund   126,102    0.5 
        Other   436,973    1.9 
            563,075    2.4 
ENERGY  213,060    0.9 
FOOD & STAPLES RETAILING  133,303    0.6 
FOOD, BEVERAGE & TOBACCO         
 1,328,000      Costco Wholesale Corp   212,387    0.9 
 2,927,504 *  Monster Beverage Corp   145,438    0.6 
        Other   529,597    2.3 
            887,422    3.8 
HEALTH CARE EQUIPMENT & SERVICES         
 239,169 *  Intuitive Surgical, Inc   223,712    1.0 
 1,822,532      UnitedHealth Group, Inc   337,934    1.4 
        Other   828,940    3.6 
            1,390,586    6.0 
     
See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 45
 
Summary portfolio of investments (unaudited) continued

 

CREF Growth Account  ■  June 30, 2017

 

Shares      Company  Value
(000)
   % of net
assets
 
HOUSEHOLD & PERSONAL PRODUCTS         
 1,959,948      Estee Lauder Cos (Class A)  $188,116    0.8%
        Other   79,957    0.4 
            268,073    1.2 
INSURANCE  140,502    0.6 
MATERIALS         
 1,049,633      Monsanto Co   124,235    0.5 
 319,037      Sherwin-Williams Co   111,969    0.5 
        Other   614,177    2.7 
            850,381    3.7 
MEDIA         
 10,801,328      Comcast Corp (Class A)   420,388    1.8 
 1,264,313      Time Warner, Inc   126,950    0.5 
 2,124,618      Walt Disney Co   225,740    1.0 
        Other   253,023    1.1 
            1,026,101    4.4 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES         
 916,019 *  Alexion Pharmaceuticals, Inc   111,452    0.5 
 829,590      Allergan plc   201,665    0.9 
 1,826,641 *  Celgene Corp   237,226    1.0 
 652,586 *  Illumina, Inc   113,237    0.5 
 3,019,429      Zoetis, Inc   188,352    0.8 
        Other   1,056,121    4.5 
            1,908,053    8.2 
REAL ESTATE  188,464    0.8 
RETAILING         
 918,299 *  Amazon.com, Inc   888,913    3.8 
 989,329      Expedia, Inc   147,361    0.6 
 2,508,728      Home Depot, Inc   384,839    1.7 
 776,355 *  NetFlix, Inc   115,995    0.5 
 58,932 *  Priceline.com, Inc   110,234    0.5 
        Other   598,229    2.6 
            2,245,571    9.7 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT         
 4,558,188      Applied Materials, Inc   188,299    0.8 
 1,306,130      Broadcom Ltd   304,394    1.3 
        Other   361,825    1.6 
            854,518    3.7 
SOFTWARE & SERVICES         
 2,536,713 *  Adobe Systems, Inc   358,793    1.5 
 441,291 *  Alphabet, Inc (Class A)   410,259    1.8 
 914,325 *  Alphabet, Inc (Class C)   830,875    3.6 
 3,332,682 *  eBay, Inc   116,377    0.5 
 5,182,669 *  Facebook, Inc   782,479    3.4 
 1,591,726 *  IAC/InterActiveCorp   164,330    0.7 
     
46 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Growth Account  ■  June 30, 2017

 

Shares      Company     Value
(000)
   % of net
assets
 
SOFTWARE & SERVICES—continued             
 3,137,979      Intuit, Inc     $416,755    1.8%
 2,246,494      MasterCard, Inc (Class A)      272,837    1.2 
 14,132,957      Microsoft Corp      974,185    4.2 
 2,099,811      Oracle Corp      105,285    0.5 
 4,646,050 *  PayPal Holdings, Inc      249,353    1.1 
 3,203,652 *  salesforce.com, Inc      277,436    1.2 
 4,809,203      Tencent Holdings Ltd      172,530    0.7 
 5,174,584      Visa, Inc (Class A)      485,272    2.1 
        Other      1,100,697    4.8 
               6,717,463    29.1 
TECHNOLOGY HARDWARE & EQUIPMENT             
 7,612,795 d  Apple, Inc      1,096,395    4.7 
        Other      149,542    0.7 
               1,245,937    5.4 
TELECOMMUNICATION SERVICES      170,309    0.7 
TRANSPORTATION             
 2,219,057      Delta Air Lines, Inc      119,252    0.5 
 542,007      FedEx Corp      117,794    0.5 
 1,973,177      Union Pacific Corp      214,899    1.0 
        Other      142,628    0.6 
               594,573    2.6 
UTILITIES      175    0.0 
        TOTAL COMMON STOCKS  (Cost $17,842,365)   22,908,989    99.1 
                      
Principal      Issuer                                             
SHORT-TERM INVESTMENTS             
GOVERNMENT AGENCY DEBT      175    0.0 
TREASURY DEBT      219,567    1.0 
              
Shares      Company                                       
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES             
 97,727,298 c  State Street Navigator Securities Lending Government Money Market Portfolio   97,727    0.4 
               97,727    0.4 
TOTAL SHORT-TERM INVESTMENTS  (Cost $317,462)   317,469    1.4 
                      
TOTAL PORTFOLIO  (Cost $18,159,827)   23,226,458    100.5 
OTHER ASSETS & LIABILITIES, NET      (118,659)   (0.5)
        NET ASSETS     $23,107,799    100.0%
     
See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 47
 
Summary portfolio of investments (unaudited) concluded

 

CREF Growth Account  ■  June 30, 2017

 

 

   
* Non-income producing
c Investments made with cash collateral received from securities on loan.
d All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/17, the aggregate value of securities on loan is $95,566,000.

 

At 6/30/17, the aggregate value of securities exempt from registration under Rule 144(A) of the Securities Act of 1933 amounted to $61,736,000 or 0.3% of net assets. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

48 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Equity Index Account  ■  June 30, 2017

 

Shares   Company  Value
(000)
   % of net
assets
 
COMMON STOCKS
AUTOMOBILES & COMPONENTS $176,668    1.0%
BANKS         
 7,245,516   Bank of America Corp   175,776    0.9 
 2,004,257   Citigroup, Inc   134,045    0.7 
 2,572,756   JPMorgan Chase & Co   235,150    1.3 
 3,267,750   Wells Fargo & Co   181,066    1.0 
     Other   528,175    2.9 
         1,254,212    6.8 
CAPITAL GOODS         
 421,775   3M Co   87,809    0.5 
 413,667   Boeing Co   81,803    0.4 
 6,323,765   General Electric Co   170,805    0.9 
 553,846   Honeywell International, Inc   73,822    0.4 
 542,722   United Technologies Corp   66,272    0.4 
     Other   929,561    5.1 
         1,410,072    7.7 
COMMERCIAL & PROFESSIONAL SERVICES  163,037    0.9 
CONSUMER DURABLES & APPAREL  266,407    1.4 
CONSUMER SERVICES         
 593,615   McDonald’s Corp   90,918    0.5 
     Other   337,576    1.8 
         428,494    2.3 
DIVERSIFIED FINANCIALS  757,476    4.0 
ENERGY         
 1,374,789   Chevron Corp   143,432    0.8 
 3,083,894d Exxon Mobil Corp   248,963    1.3 
 1,011,329   Schlumberger Ltd   66,586    0.4 
     Other   566,310    3.1 
         1,025,291    5.6 
FOOD & STAPLES RETAILING         
 1,060,084   Wal-Mart Stores, Inc   80,227    0.4 
     Other   173,364    1.0 
         253,591    1.4 
FOOD, BEVERAGE & TOBACCO         
 1,405,807   Altria Group, Inc   104,691    0.6 
 2,795,161   Coca-Cola Co   125,363    0.7 
 1,039,155   PepsiCo, Inc   120,012    0.6 
 1,128,960   Philip Morris International, Inc   132,596    0.7 
     Other   422,522    2.3 
         905,184    4.9 
     
See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 49
 
Summary portfolio of investments (unaudited) continued

 

CREF Equity Index Account  ■  June 30, 2017

 

Shares      Company  Value
(000)
   % of net
assets
 
HEALTH CARE EQUIPMENT & SERVICES          
 996,847      Medtronic plc  $88,470    0.5%
 697,332      UnitedHealth Group, Inc   129,299    0.7 
        Other   819,745    4.4 
            1,037,514    5.6 
HOUSEHOLD & PERSONAL PRODUCTS          
 1,862,641      Procter & Gamble Co   162,329    0.9 
        Other   142,840    0.8 
            305,169    1.7 
INSURANCE          
 1,399,557 *  Berkshire Hathaway, Inc (Class B)   237,043    1.3 
        Other   542,121    2.9 
            779,164    4.2 
MATERIALS   615,068    3.4 
MEDIA          
 3,426,333      Comcast Corp (Class A)   133,353    0.7 
 1,138,608      Walt Disney Co   120,977    0.7 
        Other   276,849    1.5 
            531,179    2.9 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES          
 1,158,720      AbbVie, Inc   84,019    0.4 
 535,092      Amgen, Inc   92,159    0.5 
 1,198,323      Bristol-Myers Squibb Co   66,770    0.4 
 563,476 *  Celgene Corp   73,179    0.4 
 946,265      Gilead Sciences, Inc   66,977    0.4 
 1,961,896      Johnson & Johnson   259,539    1.4 
 1,992,099      Merck & Co, Inc   127,673    0.7 
 4,303,578      Pfizer, Inc   144,557    0.8 
        Other   609,732    3.3 
            1,524,605    8.3 
REAL ESTATE   747,753    4.1 
RETAILING          
 289,052 *  Amazon.com, Inc   279,802    1.5 
 874,108      Home Depot, Inc   134,088    0.7 
 35,694 *  Priceline.com, Inc   66,767    0.4 
        Other   423,448    2.3 
            904,105    4.9 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT          
 290,029      Broadcom Ltd   67,591    0.4 
 3,429,723      Intel Corp   115,719    0.6 
        Other   433,875    2.4 
            617,185    3.4 
     
50 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Equity Index Account  ■  June 30, 2017

 

             Value   % of net  
Shares      Company     (000)   assets  
SOFTWARE & SERVICES             
 216,538 *  Alphabet, Inc (Class A)     $201,311    1.1%
 219,893 *  Alphabet, Inc (Class C)      199,823    1.1 
 1,697,976 *  Facebook, Inc      256,360    1.4 
 624,950      International Business Machines Corp      96,136    0.5 
 685,160      MasterCard, Inc (Class A)      83,213    0.5 
 5,458,007      Microsoft Corp      376,220    2.0 
 2,091,658      Oracle Corp      104,876    0.6 
 1,345,134      Visa, Inc (Class A)      126,147    0.7 
        Other      886,552    4.8 
               2,330,638    12.7 
TECHNOLOGY HARDWARE & EQUIPMENT             
 3,795,863      Apple, Inc      546,680    3.0 
 3,646,608      Cisco Systems, Inc      114,139    0.6 
        Other      309,862    1.7 
               970,681    5.3 
TELECOMMUNICATION SERVICES             
 4,475,522      AT&T, Inc      168,861    0.9 
 2,971,248      Verizon Communications, Inc        132,696    0.8 
        Other      57,382    0.3 
               358,939    2.0 
TRANSPORTATION      396,207    2.1 
UTILITIES      580,234    3.2 
        TOTAL COMMON STOCKS  (Cost $9,079,867)   18,338,873    99.8 
                      
RIGHTS / WARRANTS             
DIVERSIFIED FINANCIALS      0    0.0 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES      12    0.0 
SOFTWARE & SERVICES      0    0.0 
        TOTAL RIGHTS / WARRANTS  (Cost $1)   12    0.0 
                      
Principal      Issuer               
SHORT-TERM INVESTMENTS             
GOVERNMENT AGENCY DEBT      9,300    0.1 
              
Shares      Company               
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES             
 213,283,503 c  State Street Navigator Securities Lending Government Money Market Portfolio      213,284    1.2 
               213,284    1.2 
        TOTAL SHORT-TERM INVESTMENTS  (Cost $222,583)   222,584    1.3 
                         
        TOTAL PORTFOLIO  (Cost $9,302,451)   18,561,469    101.1 
        OTHER ASSETS & LIABILITIES, NET      (194,025)   (1.1)
        NET ASSETS     $18,367,444    100.0%
     
See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 51
 
Summary portfolio of investments (unaudited) concluded

 

CREF Equity Index Account  ■  June 30, 2017

 

 
   
* Non-income producing
c Investments made with cash collateral received from securities on loan.
d All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/17, the aggregate value of securities on loan is $206,542,000.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

52 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Bond Market Account  ■  June 30, 2017

 

Principal    Issuer      Value
(000)
   % of net
assets
 
BANK LOAN OBLIGATIONS             
CAPITAL GOODS     $2,315    0.0%
COMMERCIAL & PROFESSIONAL SERVICES      4,449    0.0 
CONSUMER DURABLES & APPAREL      1,003    0.0 
CONSUMER SERVICES      6,462    0.1 
DIVERSIFIED FINANCIALS      199    0.0 
ENERGY      4,302    0.0 
FOOD & STAPLES RETAILING      3,356    0.0 
FOOD, BEVERAGE & TOBACCO      4,005    0.0 
HEALTH CARE EQUIPMENT & SERVICES      14,323    0.2 
MATERIALS      10,319    0.1 
MEDIA      15,300    0.2 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES      3,649    0.0 
REAL ESTATE      5,568    0.0 
RETAILING      4,583    0.0 
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT      1,501    0.0 
SOFTWARE & SERVICES      7,653    0.1 
TECHNOLOGY HARDWARE & EQUIPMENT      1,077    0.0 
TRANSPORTATION      248    0.0 
       TOTAL BANK LOAN OBLIGATIONS  (Cost $90,390)   90,312    0.7 
                     
BONDS             
CORPORATE BONDS             
AUTOMOBILES & COMPONENTS      61,246    0.5 
BANKS             
$ 50,075,000    Citigroup, Inc  3.200%, 10/21/26   48,704    0.4 
  40,000,000    Royal Bank of Canada  1.875%, 02/05/20   39,784    0.2 
       Other      764,784    5.6 
              853,272    6.2 
CAPITAL GOODS      154,437    1.1 
COMMERCIAL & PROFESSIONAL SERVICES      79,321    0.6 
CONSUMER DURABLES & APPAREL      32,467    0.2 
CONSUMER SERVICES      163,654    1.2 
DIVERSIFIED FINANCIALS      552,886    4.0 
ENERGY      399,094    2.9 
FOOD & STAPLES RETAILING      100,320    0.7 
FOOD, BEVERAGE & TOBACCO      141,647    1.0 
HEALTH CARE EQUIPMENT & SERVICES      126,789    0.9 

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 53
 
Summary portfolio of investments (unaudited) continued

 

CREF Bond Market Account  ■  June 30, 2017

 

               Value % of net  
Principal     Issuer        (000) assets  
HOUSEHOLD & PERSONAL PRODUCTS   $18,388   0.1 %
INSURANCE      200,829   1.5  
MATERIALS      184,536   1.4  
MEDIA      189,964   1.4  
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES      240,624   1.8  
REAL ESTATE      217,663   1.6  
RETAILING      80,867   0.6  
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT      30,233   0.2  
SOFTWARE & SERVICES      94,108   0.7  
TECHNOLOGY HARDWARE & EQUIPMENT      119,995   0.9  
TELECOMMUNICATION SERVICES      189,911   1.4  
TRANSPORTATION      103,320   0.8  
UTILITIES      578,770   4.2  
       TOTAL CORPORATE BONDS(Cost $4,823,743)   4,914,341   35.9  
                        
GOVERNMENT BONDS              
AGENCY SECURITIES              
$35,000,000     Private Export Funding Corp (PEFCO)  4.300%, 12/15/21   38,352   0.3  
       Other        183,435   1.2  
                221,787   1.5  
FOREIGN GOVERNMENT BONDS      718,022   5.2  
MORTGAGE BACKED              
 41,698,477     Federal Home Loan Mortgage Corp (FHLMC)  3.500%, 08/15/43   43,620   0.3  
 74,128,272     Federal Home Loan Mortgage Corp Gold (FGLMC)3.500%, 10/01/45   76,606   0.6  
 65,420,918     FGLMC    4.000%, 12/01/45   69,499   0.5  
 135,225,635     FGLMC    3.500%, 08/01/46   139,740   1.0  
 43,000,000  h  Federal National Mortgage Association (FNMA)2.500%, 08/25/32   43,165   0.3  
 51,216,686     FNMA    4.000%, 09/01/45   54,529   0.4  
 47,804,738     FNMA    4.000%, 01/01/46   50,731   0.4  
 79,712,438     FNMA    3.000%, 11/01/46   79,644   0.6  
 86,764,878     FNMA    3.000%, 12/01/46   86,690   0.6  
 50,964,661  h  FNMA    3.500%, 12/01/46   52,361   0.4  
 66,595,995     FNMA    3.000%, 01/01/47   66,539   0.5  
 143,299,732  h  FNMA    3.500%, 01/01/47   147,226   1.1  
 79,042,251     FNMA    4.000%, 07/01/47   83,115   0.6  
 86,022,016  h  FNMA    4.500%, 07/01/47   92,417   0.7  
 60,000,000  h  FNMA    3.500%, 08/25/47   61,498   0.4  
 42,000,000  h  FNMA    4.000%, 08/25/47   44,066   0.3  
 861,892,606     FNMA   2.500%–9.000%, 03/01/23–08/25/47   883,748   6.4  
 146,536,152     Government National Mortgage Association (GNMA)3.000%, 05/20/47   148,157   1.1  
 75,836,202     GNMA    3.500%, 05/20/47   78,615   0.6  
 117,950,000     GNMA    3.500%, 06/20/47   122,271   0.9  
       Other        269,907   2.0  
                2,694,144   19.7  

 

54 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Bond Market Account  ■  June 30, 2017

 

Principal     Issuer     Value
(000)
   % of net
assets
 
MUNICIPAL BONDS    $433,073    3.2%
U.S. TREASURY SECURITIES            
$100,686,000     United States Treasury Bond  5.375%, 02/15/31   135,411    1.0 
 65,602,000     United States Treasury Bond  4.500%, 02/15/36   84,783    0.6 
 38,000,000     United States Treasury Bond  3.500%, 02/15/39   42,986    0.3 
 56,375,000     United States Treasury Bond  3.625%, 08/15/43   64,935    0.5 
 81,710,000     United States Treasury Bond  2.875%, 08/15/45   82,294    0.6 
 102,850,000     United States Treasury Bond  2.500%, 05/15/46   95,855    0.7 
 48,755,000     United States Treasury Bond  3.000%, 02/15/47   50,381    0.4 
 67,000,000     United States Treasury Bond  3.000%, 05/15/47   69,267    0.5 
 120,000,000     United States Treasury Note  0.875%, 05/31/18   119,578    0.9 
 71,675,000     United States Treasury Note  0.750%, 10/31/18   71,124    0.5 
 73,790,000     United States Treasury Note  1.250%, 05/31/19   73,614    0.5 
 133,872,000     United States Treasury Note  8.000%, 11/15/21   168,647    1.2 
 72,575,000     United States Treasury Note  1.750%, 02/28/22   72,260    0.5 
 51,523,000     United States Treasury Note  1.750%, 05/31/22   51,215    0.4 
 106,110,000     United States Treasury Note  1.875%, 08/31/22   105,886    0.8 
 60,270,000     United States Treasury Note  2.000%, 05/31/24   59,769    0.4 
 64,337,000     United States Treasury Note  2.375%, 05/15/27   64,752    0.5 
       Other      557,737    4.1 
              1,970,494    14.4 
       TOTAL GOVERNMENT BONDS  (Cost $5,999,472)   6,037,520    44.0 
                     
STRUCTURED ASSETS            
ASSET BACKED            
 65,000,000  g,h  Domino’s Pizza Master Issuer LLC  3.082%, 07/25/47   64,685    0.5 
       Series - 2017 1A (Class A2II)             
 65,130,667  g  Domino’s Pizza Master Issuer LLC  5.216%, 01/25/42   65,162    0.5 
       Series - 2012 1A (Class A2)             
       Other      907,383    6.6 
              1,037,230    7.6 
OTHER MORTGAGE BACKED            
 37,891,768  i  Connecticut Avenue Securities  2.666%, 01/25/29   38,365    0.3 
       Series - 2016 C04 (Class 1M1)               
 49,550,000  i  Wachovia Bank Commercial Mortgage Trust  5.750%, 06/15/49   50,039    0.4 
       Series - 2007 C32 (Class AJ)             
 55,000,000  g,i  WFRBS Commercial Mortgage Trust  4.902%, 06/15/44   59,911    0.4 
       Series - 2011 C4 (Class A4)             
       Other      1,191,304    8.7 
              1,339,619    9.8 
       TOTAL STRUCTURED ASSETS  (Cost $2,386,458)   2,376,849    17.4 
       TOTAL BONDS  (Cost $13,209,673)   13,328,710    97.3 
                     
Shares     Company               
PREFERRED STOCKS            
BANKS            11,361    0.1 
       TOTAL PREFERRED STOCKS  (Cost $49,941)   11,361    0.1 

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 55
 
Summary portfolio of investments (unaudited) concluded

 

CREF Bond Market Account  ■  June 30, 2017

 

Principal     Issuer        Value
(000)
   % of net
assets
 
SHORT-TERM INVESTMENTS             
GOVERNMENT AGENCY DEBT       $44,582   0.3 %
TREASURY DEBT                
$40,100,000     United States Treasury Bill     0.691%, 07/06/17   40,098   0.3  
 47,000,000     United States Treasury Bill     0.773%, 07/20/17   46,982   0.3  
 49,000,000     United States Treasury Bill     0.798%, 07/27/17   48,973   0.4  
 100,000,000     United States Treasury Bill  0.857%–0.912%, 08/03/17   99,927   0.7  
 49,600,000     United States Treasury Bill     0.958%, 08/31/17   49,525   0.4  
 172,000,000     United States Treasury Bill  0.941%–0.989%, 09/21/17   171,631   1.2  
       Other         93,383   0.7  
                 550,519   4.0  
       TOTAL SHORT-TERM INVESTMENTS  (Cost $595,060)   595,101   4.3  
                         
          TOTAL PORTFOLIO  (Cost $13,945,064)   14,025,484   102.4  
       OTHER ASSETS & LIABILITIES, NET      (335,375)  (2.4 )
          NET ASSETS     $13,690,109   100.0 %

 

 

 

g Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/17, the aggregate value of these securities, including those in “Other,” was $2,211,784,000 or 16.2% of net assets.
h All or portion of these securities were purchased on a delayed delivery basis.
i Floating or variable rate security. Coupon rate reflects the rate at period end.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

56 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Portfolio of investments (unaudited)

 

CREF Inflation-Linked Bond Account  ■  June 30, 2017

 

Principal     Issuer     Value
(000)
   % of net
assets
 
GOVERNMENT BONDS            
AGENCY SECURITIES            
$17,190,000     Montefiore Medical Center  2.895%, 04/20/32  $16,713    0.3%
 3,500,000     Private Export Funding Corp (PEFCO)  2.300%, 09/15/20   3,540    0.1 
 3,000,000     PEFCO  3.250%, 06/15/25   3,125    0.0 
 5,921,053     Reliance Industries Ltd  2.444%, 01/15/26   5,936    0.1 
 3,500,000     Ukraine Government AID Bonds  1.847%, 05/29/20   3,502    0.0 
 15,000,000     Ukraine Government AID Bonds  1.471%, 09/29/21   14,648    0.2 
              47,464    0.7 
MORTGAGE BACKED             
 13,280,404     Government National Mortgage Association (GNMA)  3.650%, 02/15/32   14,011    0.2 
              14,011    0.2 
U.S. TREASURY SECURITIES             
 124,915,551  k  United States Treasury Inflation Indexed Bonds  0.125%, 04/15/18   124,468    1.9 
 70,977,758  k  United States Treasury Inflation Indexed Bonds  1.375%, 07/15/18   72,101    1.1 
 150,891,000  k  United States Treasury Inflation Indexed Bonds  2.125%, 01/15/19   155,798    2.3 
 368,337,850  k  United States Treasury Inflation Indexed Bonds  0.125%, 04/15/19   368,535    5.5 
 140,847,300  k  United States Treasury Inflation Indexed Bonds  1.875%, 07/15/19   146,819    2.2 
 157,500,938  k  United States Treasury Inflation Indexed Bonds  1.375%, 01/15/20   163,257    2.5 
 466,177,255  k  United States Treasury Inflation Indexed Bonds  0.125%, 04/15/20   466,883    7.0 
 248,473,826  k  United States Treasury Inflation Indexed Bonds  1.250%, 07/15/20   259,024    3.9 
 336,360,638  k  United States Treasury Inflation Indexed Bonds  1.125%, 01/15/21   349,291    5.2 
 333,210,030  k  United States Treasury Inflation Indexed Bonds  0.125%, 04/15/21   332,683    5.0 
 358,858,456  k  United States Treasury Inflation Indexed Bonds  0.625%, 07/15/21   367,749    5.5 
 352,143,155  k  United States Treasury Inflation Indexed Bonds  0.125%, 01/15/22   351,579    5.3 
 148,290,600  k  United States Treasury Inflation Indexed Bonds  0.125%, 04/15/22   147,552    2.2 
 411,462,270  k  United States Treasury Inflation Indexed Bonds  0.125%, 07/15/22   410,894    6.2 
 311,422,440  k  United States Treasury Inflation Indexed Bonds  0.125%, 01/15/23   308,526    4.6 
 173,879,265  k  United States Treasury Inflation Indexed Bonds  0.375%, 07/15/23   174,987    2.6 
 91,426,658  k  United States Treasury Inflation Indexed Bonds  0.625%, 01/15/24   92,708    1.4 
 97,822,450  k  United States Treasury Inflation Indexed Bonds  0.125%, 07/15/24   96,065    1.4 
 146,583,760  k  United States Treasury Inflation Indexed Bonds  0.250%, 01/15/25   143,943    2.2 
 210,467,446  k  United States Treasury Inflation Indexed Bonds  2.375%, 01/15/25   239,720    3.6 
 90,729,760  k  United States Treasury Inflation Indexed Bonds  0.375%, 07/15/25   90,032    1.4 
 134,283,195  k  United States Treasury Inflation Indexed Bonds  0.625%, 01/15/26   135,106    2.0 
 228,914,101  k  United States Treasury Inflation Indexed Bonds  2.000%, 01/15/26   256,482    3.8 
 130,562,560  k  United States Treasury Inflation Indexed Bonds  0.125%, 07/15/26   125,906    1.9 
 138,164,405  k  United States Treasury Inflation Indexed Bonds  0.375%, 01/15/27   135,661    2.0 
 165,130,242  k  United States Treasury Inflation Indexed Bonds  2.375%, 01/15/27   191,660    2.9 
 195,369,192  k  United States Treasury Inflation Indexed Bonds  1.750%, 01/15/28   217,703    3.3 
 98,296,992  k  United States Treasury Inflation Indexed Bonds  3.625%, 04/15/28   128,377    1.9 
 174,122,520  k  United States Treasury Inflation Indexed Bonds  2.500%, 01/15/29   209,294    3.1 
 139,939,116  k  United States Treasury Inflation Indexed Bonds  3.875%, 04/15/29   189,939    2.9 
 28,000,000     United States Treasury Note  1.250%, 04/30/19   27,932    0.4 
 13,640,000     United States Treasury Note  1.750%, 05/31/22   13,558    0.2 
 25,000,000     United States Treasury Note  2.000%, 05/31/24   24,792    0.4 
 20,000,000     United States Treasury Note  1.875%, 06/30/24   19,819    0.3 
 25,000,000     United States Treasury Note  2.375%, 05/15/27   25,161    0.4 
              6,564,004    98.5 
       TOTAL GOVERNMENT BONDS   (Cost $6,422,683)   6,625,479    99.4 

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 57
 
Portfolio of investments (unaudited) concluded

 

CREF Inflation-Linked Bond Account  ■  June 30, 2017

 

Principal      Issuer      Value
(000)
   % of net
assets
 
SHORT-TERM INVESTMENTS           
GOVERNMENT AGENCY DEBT            
$ 4,750,000     Federal Home Loan Bank (FHLB)  0.650%, 07/03/17   $4,750    0.1%
                4,750    0.1 
TREASURY DEBT              
  17,280,000     United States Treasury Bill  0.825%, 07/06/17    17,279    0.3 
  16,375,000     United States Treasury Bill  0.812%, 07/13/17    16,371    0.2 
                33,650    0.5 
        TOTAL SHORT-TERM INVESTMENTS  (Cost $38,399)    38,400    0.6 
                       
        TOTAL PORTFOLIO  (Cost $6,461,082)    6,663,879    100.0 
        OTHER ASSETS & LIABILITIES, NET       1,737    0.0 
        NET ASSETS      $6,665,616    100.0%

 

 

 

k Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.

 

Cost amounts are in thousands.

 

58 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 

Summary portfolio of investments (unaudited)

 

CREF Social Choice Account  ■  June 30, 2017

 

Principal   Issuer       Value
(000)
   % of net
assets
 
BANK LOAN OBLIGATIONS             
CAPITAL GOODS     $2,585    0.0%
MEDIA      9,370    0.1 
TECHNOLOGY HARDWARE & EQUIPMENT      10,024    0.1 
UTILITIES      13,576    0.1 
     TOTAL BANK LOAN OBLIGATIONS  (Cost $36,421)   35,555    0.3 
                   
BONDS             
              
CORPORATE BONDS             
AUTOMOBILES & COMPONENTS      32,714    0.2 
BANKS      352,673    2.5 
CAPITAL GOODS      88,512    0.7 
COMMERCIAL & PROFESSIONAL SERVICES      6,537    0.1 
CONSUMER SERVICES      74,501    0.5 
DIVERSIFIED FINANCIALS      148,366    1.1 
ENERGY      101,369    0.8 
HEALTH CARE EQUIPMENT & SERVICES      31,877    0.2 
INSURANCE      46,497    0.3 
MATERIALS      86,281    0.6 
MEDIA      38,546    0.3 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES      18,187    0.1 
REAL ESTATE      60,320    0.4 
TECHNOLOGY HARDWARE & EQUIPMENT      32,602    0.2 
TELECOMMUNICATION SERVICES      27,465    0.2 
TRANSPORTATION      104,820    0.8 
UTILITIES      369,278    2.8 
     TOTAL CORPORATE BONDS   (Cost $1,593,227)   1,620,545    11.8 
                   
GOVERNMENT BONDS             
AGENCY SECURITIES             
$45,500,000   Iraq Government AID Bond     2.149%, 01/18/22   45,460    0.3 
 185,953,760   Overseas Private Investment             
     Corp (OPIC)  0.000%–3.938%, 11/11/17–07/31/33   190,271    1.4 
     Other         341,075    2.4 
               576,806    4.1 
FOREIGN GOVERNMENT BONDS             
 45,000,000   Inter-American Development Bank  1.185%, 07/09/18   44,579    0.3 
 46,500,000   International Finance Corp     1.546%, 11/04/21   44,987    0.3 
     Other         637,510    4.6 
               727,076    5.2 

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 59
 
Summary portfolio of investments (unaudited) continued

 

CREF Social Choice Account  ■  June 30, 2017

 

              Value   % of net  
Principal   Issuer        (000)  assets  
MORTGAGE BACKED             
$53,354,326   Federal Home Loan Mortgage Corp Gold (FGLMC)  3.500%, 08/01/46  $55,136    0.4%
 56,030,671  h Federal National Mortgage Association (FNMA)  3.500%, 01/01/47   57,566    0.4 
 637,647,429   FNMA  2.500%–8.000%, 03/01/23–08/25/47   659,982    4.7 
 64,797,603   Government National Mortgage Association (GNMA)  3.000%, 05/20/47   65,514    0.5 
 52,650,000   GNMA     3.500%, 06/20/47   54,579    0.4 
     Other         222,908    1.6 
               1,115,685    8.0 
MUNICIPAL BONDS      636,130    4.6 
U.S. TREASURY SECURITIES             
 66,090,000   United States Treasury Bond     2.875%, 11/15/46   66,567    0.5 
 63,995,000   United States Treasury Bond     3.000%, 02/15/47   66,130    0.5 
 58,600,000   United States Treasury Note     1.750%, 05/31/22   58,250    0.4 
     Other         134,939    0.9 
               325,886    2.3 
     TOTAL GOVERNMENT BONDS  (Cost $3,356,409)   3,381,583    24.2 
                      
STRUCTURED ASSETS             
ASSET BACKED      221,389    1.6 
OTHER MORTGAGE BACKED      247,784    1.6 
     TOTAL STRUCTURED ASSETS  (Cost $469,194)   469,173    3.2 
        TOTAL BONDS  (Cost $5,418,830)   5,471,301    39.2 
                      
Shares   Company                
COMMON STOCKS             
AUTOMOBILES & COMPONENTS      190,469    1.4 
BANKS                
 350,934   PNC Financial Services Group, Inc         43,821    0.3 
 924,485   US Bancorp         47,999    0.4 
     Other         587,360    4.2 
               679,180    4.9 
CAPITAL GOODS             
 270,211   3M Co         56,255    0.4 
     Other         610,270    4.4 
               666,525    4.8 
COMMERCIAL & PROFESSIONAL SERVICES      61,829    0.4 
CONSUMER DURABLES & APPAREL             
 775,923   Nike, Inc (Class B)         45,779    0.3 
     Other         105,177    0.8 
               150,956    1.1 

 

60 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) continued

 

CREF Social Choice Account  ■  June 30, 2017

 

Shares   Company  Value
(000)
   % of net
assets
 
                
CONSUMER SERVICES       
 391,684   McDonald’s Corp  $59,990    0.4%
 781,044   Starbucks Corp   45,543    0.3 
     Other   89,052    0.6 
         194,585    1.3 
DIVERSIFIED FINANCIALS       
 528,376   American Express Co   44,510    0.3 
     Other   392,568    2.8 
         437,078    3.1 
ENERGY   469,750    3.4 
FOOD & STAPLES RETAILING    86,615    0.6 
FOOD, BEVERAGE & TOBACCO       
 1,591,904   Coca-Cola Co   71,397    0.5 
 599,192   PepsiCo, Inc   69,201    0.5 
     Other   251,472    1.8 
         392,070    2.8 
HEALTH CARE EQUIPMENT & SERVICES    341,895    2.4 
HOUSEHOLD & PERSONAL PRODUCTS       
 948,089   Procter & Gamble Co   82,626    0.6 
     Other   121,038    0.9 
         203,664    1.5 
INSURANCE       
 296,176   Chubb Ltd   43,058    0.3 
     Other   362,719    2.6 
         405,777    2.9 
MATERIALS    440,801    3.1 
MEDIA       
 125,569 * Charter Communications, Inc   42,298    0.3 
 477,575   Time Warner, Inc   47,953    0.4 
 626,748   Walt Disney Co   66,592    0.5 
     Other   75,530    0.5 
         232,373    1.7 
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES       
 346,676   Amgen, Inc   59,708    0.4 
 934,896   Bristol-Myers Squibb Co   52,092    0.4 
 397,317 * Celgene Corp   51,600    0.4 
 686,204   Gilead Sciences, Inc   48,569    0.3 
 848,433   Johnson & Johnson   112,239    0.8 
 1,119,109   Merck & Co, Inc   71,724    0.5 
     Other   324,243    2.3 
         720,175    5.1 
REAL ESTATE  324,007    2.3 

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 61
 
Summary portfolio of investments (unaudited) continued

 

CREF Social Choice Account  ■  June 30, 2017

 

Shares   Company     Value
(000)
   % of net
assets
 
RETAILING                
 550,859   Lowe’s Companies, Inc     $42,708     0.3 %
 25,727 * Priceline.com, Inc      48,123     0.3  
     Other      210,253     1.5  
            301,084     2.1  
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT                
 1,867,342   Intel Corp      63,004     0.5  
 306,879   NVIDIA Corp      44,363     0.3  
     Other      117,779     0.8  
            225,146     1.6  
SOFTWARE & SERVICES                
 372,887   Accenture plc      46,119     0.3  
 80,187 * Alphabet, Inc (Class A)      74,548     0.5  
 85,069 * Alphabet, Inc (Class C)      77,305     0.6  
 398,003   International Business Machines Corp      61,225     0.4  
 468,238   MasterCard, Inc (Class A)      56,867     0.4  
 2,038,702   Microsoft Corp      140,528     1.0  
 1,243,339   Oracle Corp      62,341     0.5  
     Other      291,024     2.1  
            809,957     5.8  
TECHNOLOGY HARDWARE & EQUIPMENT                
 1,979,847   Cisco Systems, Inc      61,969     0.4  
     Other      222,619     1.6  
            284,588     2.0  
TELECOMMUNICATION SERVICES                
 1,561,832   Verizon Communications, Inc      69,751     0.5  
     Other      150,614     1.1  
            220,365     1.6  
TRANSPORTATION                
 439,785   Union Pacific Corp      47,897     0.4  
     Other      185,258     1.3  
            233,155     1.7  
UTILITIES      275,709     2.0  
     TOTAL COMMON STOCKS  (Cost $6,222,290)   8,347,753     59.6  
                      
PREFERRED STOCKS                
BANKS        21,155     0.2  
     TOTAL PREFERRED STOCKS  (Cost $38,865)   21,155     0.2  
                      
RIGHTS / WARRANTS                
ENERGY      8     0.0  
     TOTAL RIGHTS / WARRANTS  (Cost $8)   8     0.0  

 

62 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) concluded

 

CREF Social Choice Account  ■  June 30, 2017

 

Principal   Issuer        Value
(000)
   % of net
assets
 
SHORT-TERM INVESTMENTS                
TREASURY DEBT                
$50,000,000   United States Treasury Bill     0.773%, 07/20/17  $49,981    0.4%
 54,500,000   United States Treasury Bill     0.912%, 08/03/17   54,460    0.4 
 53,000,000   United States Treasury Bill     0.798%, 08/24/17   52,931    0.4 
     Other         59,797    0.4 
               217,169    1.6 
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED             
TREASURY DEBT                
 75,000,000   United States Treasury Bill  0.787%–0.861%, 07/27/17   74,956    0.5 
 50,000,000   United States Treasury Bill     0.857%, 08/03/17   49,961    0.4 
 50,000,000   United States Treasury Bill     0.912%, 08/24/17   49,932    0.3 
     Other         25,126    0.2 
               199,975    1.4 
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED      199,975    1.4 
     TOTAL SHORT-TERM INVESTMENTS  (Cost $416,972)   417,144    3.0 
                      
     TOTAL PORTFOLIO  (Cost $12,133,386)   14,292,916    102.3 
     OTHER ASSETS & LIABILITIES, NET      (321,897)   (2.3)
        NET ASSETS     $13,971,019    100.0%

 

 

 

* Non-income producing
h All or portion of these securities were purchased on a delayed delivery basis.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

At 6/30/17, the aggregate value of securities on loan is $192,208,000.

 

At 6/30/17, the aggregate value of securities exempt from registration under Rule 144(A) of the Securities Act of 1933 amounted to $911,616,000 or 6.5% of net assets. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 63
 

Summary portfolio of investments (unaudited)

 

CREF Money Market Account  ■  June 30, 2017

 

Principal   Issuer     Value
(000)
   % of net
assets
 
SHORT-TERM INVESTMENTS             
GOVERNMENT AGENCY DEBT             
$125,455,000   Federal Agricultural Mortgage Corp (FAMC)  0.650%–1.180%, 07/05/17–02/16/18  $125,270    1.3%
 503,410,000   Federal Farm Credit Bank (FFCB)  0.580%–1.170%, 07/06/17–03/22/18   502,671    5.2 
 119,570,000   Federal Home Loan Bank (FHLB)  0.775%–1.020%, 07/05/17   119,559    1.2 
 158,880,000   FHLB  0.600%–0.895%, 07/07/17   158,860    1.7 
 90,000,000   FHLB  0.820%–0.840%, 07/10/17   89,981    0.9 
 84,700,000   FHLB  0.625%–0.825%, 07/11/17   84,682    0.9 
 110,460,000   FHLB  0.800%–0.870%, 07/14/17   110,426    1.1 
 120,370,000   FHLB  0.625%–0.855%, 07/19/17   120,323    1.3 
 82,747,000   FHLB  0.635%–1.020%, 07/21/17   82,707    0.9 
 106,650,000   FHLB  0.830%–1.000%, 07/24/17   106,588    1.1 
 101,990,000   FHLB  0.880%–1.015%, 07/25/17   101,924    1.1 
 120,500,000   FHLB  0.635%–0.900%, 07/26/17   120,433    1.3 
 134,112,000   FHLB  0.635%–1.035%, 07/28/17   134,037    1.4 
 93,915,000   FHLB  0.650%–0.950%, 08/02/17   93,848    1.0 
 91,825,000   FHLB  0.910%–1.005%, 08/04/17   91,743    1.0 
 79,210,000   FHLB  0.640%–0.940%, 08/09/17   79,152    0.8 
 89,600,000   FHLB  0.665%–1.000%, 08/11/17   89,510    0.9 
 64,850,000   FHLB  0.680%–0.970%, 08/18/17   64,770    0.7 
 93,465,000   FHLB  0.930%–0.970%, 08/23/17   93,334    1.0 
 131,325,000   FHLB  0.900%–1.030%, 08/25/17   131,126    1.4 
 125,000,000   FHLB  1.020%–1.035%, 08/29/17   124,789    1.3 
 83,875,000   FHLB  1.010%–1.050%, 09/05/17   83,718    0.9 
 1,108,763,000   FHLB  0.780%–1.100%, 07/03/17–11/27/17   1,106,842    11.6 
 69,250,000   Federal Home Loan Mortgage Corp (FHLMC)  0.800%–0.825%, 08/08/17   69,191    0.7 
 70,000,000   FHLMC  0.995%, 10/06/17   69,812    0.7 
 85,000,000   FHLMC  1.050%–1.070%, 11/03/17   84,685    0.9 
 771,026,000   FHLMC  0.620%–1.110%, 07/03/17–02/05/18   769,296    8.0 
 107,300,000   Federal National Mortgage Association (FNMA)  0.595%–0.810%, 07/12/17   107,275    1.1 
 74,213,000   FNMA  0.930%–0.970%, 08/23/17   74,108    0.8 
 83,850,000   FNMA  0.965%–0.970%, 08/30/17   83,715    0.9 
 563,041,000   FNMA  0.770%–1.030%, 07/05/17–10/16/17   562,300    5.9 
     Other      58,955    0.6 
            5,695,630    59.6 
TREASURY DEBT             
 100,000,000   United States Treasury Bill  0.742%–0.785%, 07/06/17   99,989    1.0 
 120,000,000   United States Treasury Bill  0.587%–0.800%, 07/13/17   119,970    1.3 
 75,000,000   United States Treasury Bill  0.780%–0.819%, 07/20/17   74,969    0.8 
 70,000,000   United States Treasury Bill  0.780%–0.836%, 07/27/17   69,960    0.7 
 120,000,000   United States Treasury Bill  0.621%–0.914%, 08/03/17   119,910    1.3 
 125,000,000   United States Treasury Bill  0.626%–0.930%, 08/10/17   124,891    1.3 
 140,000,000   United States Treasury Bill  0.612%–0.960%, 08/17/17   139,860    1.5 
 125,000,000   United States Treasury Bill  0.645%–0.955%, 08/24/17   124,842    1.3 
 100,000,000   United States Treasury Bill  0.840%–0.955%, 09/07/17   99,831    1.0 
 85,840,000   United States Treasury Bill  0.850%–0.925%, 09/14/17   85,679    0.9 

 

64 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements
 
Summary portfolio of investments (unaudited) concluded

 

CREF Money Market Account  ■  June 30, 2017

 

Principal     Issuer     Value
(000)
   % of net
assets
 
TREASURY DEBT—continued             
$155,370,000     United States Treasury Bill0.650–0.976%, 08/31/17–10/26/17  $155,031    1.6%
 70,000,000     United States Treasury Note  0.500%, 07/31/17   69,990    0.7 
 100,200,000     United States Treasury Note  0.875%, 08/15/17   100,220    1.1 
 110,000,000     United States Treasury Note  0.625%, 08/31/17   109,988    1.2 
 102,520,000     United States Treasury Note  1.000%, 09/15/17   102,584    1.1 
 80,500,000     United States Treasury Note  0.750%, 10/31/17   80,495    0.8 
 70,000,000     United States Treasury Note  1.000%, 02/15/18   69,926    0.7 
 271,290,000     United States Treasury Note0.625–1.000%, 07/31/17–02/28/18   271,010    2.8 
              2,019,145    21.1 
VARIABLE RATE SECURITIES             
 364,200,000  i Federal Agricultural Mortgage Corp (FAMC)0.917%–1.280%, 08/01/17–11/01/18   364,192    3.8 
 72,000,000  i  Federal Farm Credit Bank (FFCB)  1.189%, 07/17/17   72,000    0.8 
 69,700,000  i  FFCB  0.952%, 08/15/17   69,700    0.7 
 95,000,000  i  FFCB  1.159%, 09/17/18   94,988    1.0 
 611,950,000  i  FFCB0.989%–1.400%, 08/04/17–06/27/19   612,060    6.3 
 75,000,000  i  Federal Home Loan Bank (FHLB)  1.036%, 02/23/18   75,007    0.8 
 72,500,000  i  FHLB  0.958%, 01/18/19   72,503    0.8 
 158,000,000  i  FHLB0.891%–1.176%, 04/20/18–03/06/19   158,020    1.6 
 78,000,000  i  Federal National Mortgage Association (FNMA)  1.232%, 07/20/17   77,997    0.8 
 94,500,000  i  FNMA  1.182%, 08/16/17   94,499    1.0 
 66,140,000  i  FNMA  1.086%, 10/05/17   66,133    0.7 
       Other      95,023    1.0 
              1,852,122    19.3 
       TOTAL SHORT-TERM INVESTMENTS   (Cost $9,566,897)   9,566,897    100.0 
                     
       TOTAL PORTFOLIO   (Cost $9,566,897)   9,566,897    100.0 
       OTHER ASSETS & LIABILITIES, NET       (1,019)   (0.0)
       NET ASSETS      $9,565,878    100.0%

 

 

 

i Floating or variable rate security. Coupon rate reflects the rate at period end.

 

“Other” securities represent the aggregate value, by category, of securities that are not among the 50 largest holdings and, in total for any issuer, represent 1% or less of net assets.

 

Cost amounts are in thousands.

 

For ease of presentation, a number of classification categories have been grouped together in the Summary portfolio of investments. Note that the Account uses more specific categories in following its investment limitations on investment concentrations.

 

See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 65
 

Statements of assets and liabilities (unaudited)

 

College Retirement Equities Funds  ■  June 30, 2017

 

(amounts in thousands, except accumulation unit value)  Stock
Account
   Global Equities
Account
   Growth
Account
   Equity Index
Account
   Bond Market
Account
   Inflation-Linked
Bond Account
   Social Choice
Account
   Money Market
Account
 
ASSETS                                        
Portfolio investments, at value*  $121,583,543   $19,617,362   $23,226,458   $18,561,469   $14,025,484   $6,663,879   $14,292,916   $9,566,897 
Affiliated investments, at value   199,431                             
Total portfolio investments, at value  $121,782,974   $19,617,362   $23,226,458   $18,561,469   $14,025,484   $6,663,879   $14,292,916   $9,566,897 
Cash**#   5,442    7,521    140    3    96,739    17    39,939    4 
Cash — foreign^   41,814    5,658                    1,986     
Dividends and interest receivable   219,321    37,305    9,655    19,775    83,518    23,204    52,712    3,629 
Receivable from securities transactions   1,335,268    60,657    99,640    2,875    37,056        4,455     
Receivable for delayed delivery securities                   736,921        296,117     
Due from affiliates                   1,394             
Receivable for variation margin on open futures contracts   30    95    56                     
Other   8,892    1,819    1,874    1,609    1,527    1,231    1,676    1,548 
Total assets      123,393,741    19,730,417    23,337,823    18,585,731    14,982,639    6,688,331    14,689,801    9,572,078 
                                            
LIABILITIES                                           
Investment management fees payable   2,120    366    208    130    196    119    400    248 
Service agreement fees payable   2,144    285    341    259    84    232    29    307 
Payable for collateral for securities loaned   2,443,821    422,967    97,727    213,284            202,102     
Payable for securities transactions   1,257,578    74,738    125,091        11,386    19,925    1,999     
Payable for delayed delivery securities                   1,278,252        501,696     
Due to affiliates   132,151    501    4,795    3,005    2    1,208    10,925    4,106 
Overdraft payable                   560             
Payable for variation margin on open futures contracts               2                 
Written options   1,141                             
Unrealized depreciation on forward foreign currency contracts                   444             
Unrealized depreciation on swap contracts   221                             
Payable for trustee compensation   8,855    1,819    1,859    1,607    1,586    1,231    1,486    1,539 
Other      9,142    1,918    3        20        145     
Total liabilities      3,857,173    502,594    230,024    218,287    1,292,530    22,715    718,782    6,200 
NET ASSETS     $119,536,568   $19,227,823   $23,107,799   $18,367,444   $13,690,109   $6,665,616   $13,971,019   $9,565,878 
CLASS R1 (Accumulation):  Net assets  $14,950,987   $3,418,633   $4,364,147   $3,676,689   $2,184,253   $1,074,448   $2,354,928   $1,892,402 
   Units outstanding   34,352    21,308    27,148    18,700    18,189    15,790    10,715    74,067 
   Unit value  $435.22   $160.44   $160.75   $196.61   $120.09   $68.05   $219.77   $25.55 
CLASS R2 (Accumulation):  Net assets   35,912,478    6,599,649    7,938,081    6,316,693    4,738,948    2,122,736    4,918,956    2,873,193 
   Units outstanding   82,015    40,887    49,082    31,934    39,224    31,007    22,247    112,298 
   Unit value  $437.88   $161.41   $161.73   $197.81   $120.82   $68.46   $221.10   $25.59 
CLASS R3 (Accumulation):  Net assets   56,990,921    8,842,115    10,425,331    7,977,766    6,478,782    3,268,076    6,334,606    4,651,872 
   Units outstanding   129,872    54,662    64,323    40,244    53,509    47,634    28,589    181,626 
   Unit value  $438.83   $161.76   $162.08   $198.23   $121.08   $68.61   $221.58   $25.61 
ANNUITY:  Net assets  $11,682,182   $367,426   $380,240   $396,296   $288,126   $200,356   $362,529   $148,411 
*  Includes securities loaned of  $2,307,764   $404,691   $95,566   $206,542   $   $   $192,208   $ 
** Includes cash collateral for securities loaned of  $   $   $   $   $   $   $12,173   $ 
#  Includes cash collateral for mortgage dollar rolls of  $   $   $   $   $96,580   $   $27,549   $ 
 Portfolio investments; unaffiliated issuers cost  $105,369,129   $17,118,057   $18,159,827   $9,302,451   $13,945,064   $6,461,082   $12,133,386   $9,566,897 
 Portfolio investments; affiliated issuers cost  $222,491   $   $   $   $   $   $   $ 
^  Foreign cash, cost  $41,819   $5,668   $   $   $   $   $1,989   $ 
 Written options premiums  $1,368   $   $   $   $   $   $   $ 

 

66 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 67
 

Statements of operations (unaudited)

 

College Retirement Equities Funds  ■  For the period ended June 30, 2017

 

(amounts in thousands)  Stock
Account
   Global Equities
Account
   Growth
Account
   Equity Index
Account
   Bond Market
Account
   Inflation-Linked
Bond Account
   Social Choice
Account
   Money Market
Account
 
INVESTMENT INCOME                                        
Dividends:                                        
Unaffiliated issuers*  $1,292,122   $224,386   $132,588   $161,463   $   $   $99,208   $ 
Affiliated issuers   1,057                             
Income from securities lending   25,211    3,569    974    1,927            1,206     
Interest   2,061    529    592    11    196,174    92,911    79,441    35,398 
Other               1    37        8     
Total income   1,320,451    228,484    134,154    163,402    196,211    92,911    179,863    35,398 
EXPENSES                                        
Investment management fees   68,347    14,962    6,292    1,818    6,068    968    3,922    1,116 
Administrative — Class R1   29,793    6,789    8,549    7,337    4,395    2,220    4,711    4,046 
Administrative — Class R2   38,970    7,139    8,481    6,895    5,169    2,356    5,381    3,375 
Administrative — Class R3   50,086    6,666    7,725    6,096    4,942    2,587    4,863    3,744 
Distribution fees — Class R1   11,883    2,708    3,408    2,925    1,757    888    1,881    1,621 
Distribution fees — Class R2   13,429    2,460    2,923    2,377    1,776    810    1,853    1,156 
Distribution fees — Class R3   20,473    2,726    3,156    2,491    2,025    1,060    1,990    1,541 
Mortality and expense risk charges   2,920    468    555    450    336    167    342    252 
Total expenses   235,901    43,918    41,089    30,389    26,468    11,056    24,943    16,851 
Less: Expenses withheld by TIAA                               137 
Plus: Recovery of expenses previously withheld by TIAA                               4,672 
Net expenses   235,901    43,918    41,089    30,389    26,468    11,056    24,943    21,386 
Net investment income (loss)   1,084,550    184,566    93,065    133,013    169,743    81,855    154,920    14,012 
NET REALIZED AND UNREALIZED GAIN (LOSS) ON TOTAL INVESTMENTS
Realized gain (loss):                                        
Portfolio investments:                                        
Unaffiliated issuers   4,519,580    601,974    812,767    380,424    18,390    18,471    304,697    1 
Affiliated issuers   (3,356)                            
Futures contracts   16,336    7,813    9,505    (14)                
Purchased options   1,715                             
Written options   (211)                            
Forward foreign currency contracts                   (7,491)            
Swap contracts   (980)                            
Foreign currency transactions   (1,631)   104    (217)       (1,720)       38     
Net realized gain (loss) on total investments   4,531,453    609,891    822,055    380,410    9,179    18,471    304,735    1 
Change in unrealized appreciation (depreciation) on:                                        
Portfolio investments:                                        
Unaffiliated issuers   6,477,644    1,195,106    2,146,753    996,523    166,236    (60,591)   472,248     
Affiliated issuers   (11,697)                            
Futures contracts   1,068    (1,024)   (62)   (2)                
Purchased options   (426)                            
Written options   148                             
Forward foreign currency contracts                   (2,554)            
Swap contracts   (591)                            
Translation of assets (other than portfolio investments) and liabilities denominated in foreign currencies   4,229    1,210    12        78        492     
Net change in unrealized appreciation (depreciation) on total investments   6,470,375    1,195,292    2,146,703    996,521    163,760    (60,591)   472,740     
Net realized and unrealized gain (loss) on total investments   11,001,828    1,805,183    2,968,758    1,376,931    172,939    (42,120)   777,475    1 
Net increase (decrease) in net assets from operations  $12,086,378   $1,989,749   $3,061,823   $1,509,944   $342,682   $39,735   $932,395   $14,013 
* Net of foreign withholding taxes of unaffiliated issuers  $68,810   $14,009   $179   $44   $22   $   $5,243   $ 
Includes net realized gain (loss) from securities sold to affiliates of  $123,343   $30,735   $49,411   $12,884   $   $   $6,821   $ 
Includes net change in unrealized foreign capital gains taxes of  $(6,798)  $(696)  $   $   $1   $   $   $ 

 

68 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 69
 

Statements of changes in net assets

 

College Retirement Equities Funds  ■  For the period or year ended

 

      Stock Account  Global Equities Account  Growth Account
(amounts in thousands except accumulation units)  June 30, 2017   December 31, 2016   June 30, 2017   December 31, 2016   June 30, 2017   December 31, 2016 
      (unaudited      (unaudited      (unaudited    
OPERATIONS                                 
Net investment income (loss)  $1,084,550   $2,094,241   $184,566   $336,255   $93,065   $194,504 
Net realized gain (loss) on total investments   4,531,453    1,376,670    609,891    483,626    822,055    1,818,486 
Net change in unrealized appreciation (depreciation) on total investments   6,470,375    6,185,252    1,195,292    50,721    2,146,703    (1,450,104)
Net increase (decrease) in net assets from operations   12,086,378    9,656,163    1,989,749    870,602    3,061,823    562,886 
FROM PARTICIPANT TRANSACTIONS
Premiums and contributions:  Class R1   291,747    635,256    84,920    183,121    132,159    235,407 
   Class R2   552,162    1,145,808    121,686    276,429    206,291    308,893 
   Class R3   906,189    1,896,368    189,215    407,233    238,407    424,934 
Net transfers between CREF Accounts:  Class R1   (92,844)   (131,886)   (14,458)   (19,640)   (10,296)   (66,393)
   Class R2   (241,414)   (455,093)   (37,254)   (96,443)   (37,973)   (130,566)
   Class R3   (54,992)   (392,230)   21,634    (40,698)   32,000    (150,715)
Withdrawals and death benefits:  Class R1   (915,325)   (1,648,601)   (232,342)   (391,545)   (272,721)   (495,802)
   Class R2   (2,023,397)   (3,561,982)   (392,570)   (691,189)   (456,628)   (794,556)
   Class R3   (3,368,422)   (5,798,474)   (599,128)   (968,069)   (639,619)   (1,120,732)
Annuity payments:      (668,432)   (1,328,572)   (17,762)   (34,018)   (17,877)   (33,268)
Net increase (decrease) from participant transactions   (5,614,728)   (9,639,406)   (876,059)   (1,374,819)   (826,257)   (1,822,798)
Net increase (decrease) in net assets   6,471,650    16,757    1,113,690    (504,217)   2,235,566    (1,259,912)
                               
NET ASSETS                                 
Beginning of period      113,064,918    113,048,161    18,114,133    18,618,350    20,872,233    22,132,145 
End of period     $119,536,568   $113,064,918   $19,227,823   $18,114,133   $23,107,799   $20,872,233 
                                  
ACCUMULATION UNITS:                                 
Units purchased:  Class R1   698,298    1,724,625    551,756    1,342,318    862,675    1,745,905 
   Class R2   1,310,172    3,112,380    784,132    2,023,095    1,338,110    2,294,773 
   Class R3   1,915,775    4,683,709    1,140,679    2,844,698    1,443,234    2,996,751 
Units sold / transferred:  Class R1   (2,406,197)   (4,826,099)   (1,603,854)   (2,987,366)   (1,851,369)   (4,158,917)
   Class R2   (5,376,571)   (10,849,766)   (2,775,542)   (5,699,626)   (3,216,637)   (6,806,195)
   Class R3   (8,090,303)   (16,588,638)   (3,730,831)   (7,240,863)   (3,964,047)   (9,345,028)
Outstanding:                                 
Beginning of period      258,187,383    280,931,172    122,490,137    132,207,881    145,941,362    159,214,073 
End of period      246,238,557    258,187,383    116,856,477    122,490,137    140,553,328    145,941,362 

 

70 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 71
 
Statements of changes in net assets continued

 

College Retirement Equities Funds  ■  For the period or year ended

 

      Equity Index Account   Bond Market Account   Inflation-Linked Bond Account 
(amounts in thousands except accumulation units)  June 30, 2017   December 31, 2016   June 30, 2017   December 31, 2016   June 30, 2017   December 31, 2016 
      (unaudited)      (unaudited)      (unaudited)    
OPERATIONS                                 
Net investment income (loss) $133,013   $300,069   $169,743   $325,888   $81,855   $123,413 
Net realized gain (loss) on total investments   380,410    461,331    9,179    118,065    18,471    42,359 
Net change in unrealized appreciation (depreciation) on total investments   996,521    1,180,082    163,760    3,509    (60,591)   108,697 
Net increase (decrease) in net assets from operations   1,509,944    1,941,482    342,682    447,462    39,735    274,469 
                               
FROM PARTICIPANT TRANSACTIONS                     
Premiums and contributions:  Class R1   131,558    238,666    79,443    175,178    39,787    85,084 
   Class R2   169,974    315,730    159,968    334,752    83,598    164,794 
   Class R3   200,417    388,623    246,165    522,481    140,924    263,574 
Net transfers between CREF Accounts:  Class R1   5,675    52,601    46,556    97,428    8,637    16,088 
   Class R2   (25,523)   35,755    97,959    190,097    45,850    43,026 
   Class R3   93,752    192,967    191,863    321,658    83,428    117,987 
Withdrawals and death benefits:  Class R1   (259,241)   (430,882)   (168,420)   (313,085)   (85,837)   (164,459)
   Class R2   (384,597)   (655,413)   (309,560)   (606,340)   (141,935)   (289,692)
   Class R3   (522,748)   (890,824)   (481,720)   (904,443)   (243,462)   (459,118)
Annuity payments:      (18,869)   (33,505)   (13,891)   (27,202)   (10,005)   (20,223)
Net increase (decrease) from participant transactions   (609,602)   (786,282)   (151,637)   (209,476)   (79,015)   (242,939)
Net increase (decrease) in net assets   900,342    1,155,200    191,045    237,986    (39,280)   31,530 
                               
NET ASSETS                                 
Beginning of period   17,467,102    16,311,902    13,499,064    13,261,078    6,704,896    6,673,366 
End of period  $18,367,444   $17,467,102   $13,690,109   $13,499,064   $6,665,616   $6,704,896 
                               
ACCUMULATION UNITS:                         
Units purchased:  Class R1   690,195    1,429,650    669,554    1,484,557    582,762    1,256,448 
   Class R2   886,817    1,884,270    1,340,075    2,829,461    1,217,808    2,427,433 
   Class R3   958,530    2,199,019    1,944,900    4,230,382    1,961,250    3,724,684 
Units sold / transferred:  Class R1   (1,328,731)   (2,273,190)   (1,027,919)   (1,829,119)   (1,130,320)   (2,192,745)
   Class R2   (2,132,404)   (3,716,985)   (1,774,822)   (3,518,943)   (1,399,469)   (3,637,308)
   Class R3   (2,265,454)   (4,243,582)   (2,417,451)   (4,932,066)   (2,309,182)   (5,000,157)
Outstanding:                                 
Beginning of period      94,069,307    98,790,125    112,186,899    113,922,627    95,508,174    98,929,819 
End of period      90,878,260    94,069,307    110,921,236    112,186,899    94,431,023    95,508,174 

 

72 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 73
 
Statements of changes in net assets concluded

 

College Retirement Equities Funds  ■  For the period or year ended

 

      Social Choice Account   Money Market Account 
(amounts in thousands except accumulation units)     June 30, 2017   December 31, 2016   June 30, 2017   December 31, 2016 
      (unaudited)      (unaudited)    
OPERATIONS                       
Net investment income (loss)  $154,920   $308,142   $14,012   $9,408 
Net realized gain (loss) on total investments   304,735    662,333    1    3 
Net change in unrealized appreciation (depreciation) on total investments   472,740    (28,612)        
Net increase (decrease) in net assets from operations   932,395    941,863    14,013    9,411 
                        
FROM PARTICIPANT TRANSACTIONS                       
Premiums and contributions:  Class R1   61,458    117,728    508,945    1,162,493 
   Class R2   118,221    247,236    379,140    1,248,675 
   Class R3   149,614    316,408    660,801    1,833,038 
Net transfers between CREF Accounts:  Class R1   (5,316)   (26,303)   (85,476)   (11,179)
   Class R2   (41,558)   (76,257)   (45,900)   161,745 
   Class R3   74,211    31,523    (8,561)   336,528 
Withdrawals and death benefits:  Class R1   (142,811)   (248,429)   (677,327)   (1,230,543)
   Class R2   (272,371)   (470,771)   (770,611)   (1,613,510)
   Class R3   (376,910)   (663,221)   (1,251,481)   (2,450,296)
Annuity payments:      (16,933)   (32,710)   (8,555)   (20,235)
Net increase (decrease) from participant transactions   (452,395)   (804,796)   (1,299,025)   (583,284)
Net increase (decrease) in net assets   480,000    137,067    (1,285,012)   (573,873)
                     
NET ASSETS                       
Beginning of period      13,491,019    13,353,952    10,850,890    11,424,763 
End of period     $13,971,019   $13,491,019   $9,565,878   $10,850,890 
                        
ACCUMULATION UNITS:                       
Units purchased:  Class R1   288,077    595,633    19,930,549    45,527,588 
   Class R2   550,683    1,245,129    14,832,634    48,893,276 
   Class R3   643,759    1,485,381    25,615,252    71,250,130 
Units sold / transferred:  Class R1   (693,564)   (1,387,415)   (29,884,432)   (48,630,542)
   Class R2   (1,457,852)   (2,756,896)   (31,943,614)   (56,844,425)
   Class R3   (1,424,164)   (3,166,545)   (48,594,249)   (81,988,055)
Outstanding:                       
Beginning of period      63,643,797    67,628,510    418,035,180    439,827,208 
End of period      61,550,736    63,643,797    367,991,320    418,035,180 

 

74 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 75
 

Financial highlights

 

College Retirement Equities Fund

 

      Selected per accumulation unit data       Ratios and supplemental data 
      Gain (loss) from investment operations                                 
                  Net realized                   Ratios to average net assets       Accumulation     
   For the          Net   & unrealized   Net   Accumulation   Accumulation           Net       units   Accumulation 
   period          investment   gain (loss)   change in   unit value   unit value           investment   Portfolio   outstanding   fund net 
   or year  Investment       income   on total   accumulation   beginning   end of   Total   Gross   income   turnover   end of period   assets 
   ended  incomea   Expensesa   (loss)a     investments   unit value   of period   period   returnb   expenses   (loss)   rate   (in millions)   (in millions)i 
     
STOCK ACCOUNT                                                               
Class R1:  6/30/17#  $4.698    $1.438    $3.260    $38.903    $42.163    $393.060    $435.223    10.73%c   0.69%d   1.57%d   25%c   34    $  14,951 
   12/31/16   8.586    2.727    5.859    25.797    31.656    361.404    393.060    8.76    0.74    1.59    56    36    14,174 
   12/31/15h  8.076    2.108    5.968    (9.995)   (4.027)   365.431    361.404    (1.10)   0.57    1.60    52    39    14,153 
   12/31/14   7.897    1.620    6.277    15.744    22.021    343.410    365.431    6.41    0.46    1.77    58    306    111,823 
   12/31/13   6.581    1.476    5.105    69.661    74.766    268.644    343.410    27.83    0.48    1.68    59    330    113,325 
   12/31/12   6.328    1.244    5.084    34.469    39.553    229.091    268.644    17.26    0.49    2.01    57    353    94,887 
Class R2:  6/30/17#  4.724    0.879    3.845    39.106    42.951    394.928    437.879    10.88c   0.42d   1.84d   25c   82    35,912 
   12/31/16   8.610    1.724    6.886    25.913    32.799    362.129    394.928    9.06    0.47    1.87    56    86    33,996 
   12/31/15g  5.699    1.215    4.484    (30.621)   (26.137)   388.266    362.129    (6.73)c   0.48d   1.75d   52    94    33,974 
Class R3:  6/30/17#  4.733    0.695    4.038    39.180    43.218    395.607    438.825    10.93c   0.33d   1.93d   25c   129    56,991 
   12/31/16   8.619    1.346    7.273    25.956    33.229    362.378    395.607    9.17    0.36    1.97    56    136    53,821 
   12/31/15g  5.698    0.960    4.738    (30.626)   (25.888)   388.266    362.378    (6.67)c   0.38d   1.85d   52    148    53,614 
GLOBAL EQUITIES ACCOUNT                                                           
Class R1:  6/30/17#  1.868    0.562    1.306    14.671    15.977    144.462    160.439    11.06c   0.73d   1.71d   22c   21    3,419 
   12/31/16   3.218    1.027    2.191    4.314    6.505    137.957    144.462    4.72    0.75    1.60    78    22    3,230 
   12/31/15h  3.077    0.823    2.254    (3.090)   (0.836)   138.793    137.957    (0.60)   0.58    1.59    49    24    3,312 
   12/31/14   3.394    0.623    2.771    2.779    5.550    133.243    138.793    4.17    0.46    2.04    59    136    18,808 
   12/31/13   2.590    0.616    1.974    26.579    28.553    104.690    133.243    27.27    0.52    1.67    63    141    18,770 
   12/31/12   2.566    0.522    2.044    14.260    16.304    88.386    104.690    18.45    0.53    2.09    70    142    14,917 
Class R2:  6/30/17#  1.877    0.356    1.521    14.748    16.269    145.144    161.413    11.21c   0.46d   1.98d   22c   41    6,600 
   12/31/16   3.228    0.655    2.573    4.341    6.914    138.230    145.144    5.00    0.48    1.87    78    43    6,224 
   12/31/15g  2.030    0.468    1.562    (11.301)   (9.739)   147.969    138.230    (6.58)c   0.48d   1.60d   49    47    6,435 
Class R3:  6/30/17#  1.882    0.289    1.593    14.775    16.368    145.393    161.761    11.26c   0.37d   2.07d   22c   55    8,842 
   12/31/16   3.232    0.514    2.718    4.350    7.068    138.325    145.393    5.11    0.37    1.98    78    57    8,324 
   12/31/15g  2.030    0.370    1.660    (11.304)   (9.644)   147.969    138.325    (6.52)c   0.38d   1.70d   49    62    8,527 
GROWTH ACCOUNT                                                           
Class R1:  6/30/17#  0.919    0.480    0.439    20.234    20.673    140.081    160.754    14.76c   0.63d   0.58d   26c   27    4,364 
   12/31/16   1.782    0.902    0.880    2.577    3.457    136.624    140.081    2.53    0.67    0.65    64    28    3,941 
   12/31/15h  1.663    0.683    0.980    6.976    7.956    128.668    136.624    6.19    0.51    0.73    47    31    4,174 
   12/31/14   1.501    0.482    1.019    14.445    15.464    113.204    128.668    13.66    0.41    0.86    57    164    21,048 
   12/31/13   1.288    0.450    0.838    28.513    29.351    83.853    113.204    35.00    0.46    0.86    63    169    19,129 
   12/31/12   1.388    0.382    1.006    10.481    11.487    72.366    83.853    15.87    0.47    1.24    67    176    14,728 
Class R2:  6/30/17#  0.924    0.275    0.649    20.337    20.986    140.743    161.729    14.91c   0.36d   0.85d   26c   49    7,938 
   12/31/16   1.788    0.534    1.254    2.593    3.847    136.896    140.743    2.81    0.39    0.93    64    51    7,172 
   12/31/15g  1.117    0.380    0.737    (1.993)   (1.256)   138.152    136.896    (0.91)c   0.41d   0.79d   47    55    7,594 
Class R3:  6/30/17#  0.926    0.208    0.718    20.376    21.094    140.984    162.078    14.96c   0.27d   0.94d   26c   64    10,425 
   12/31/16   1.790    0.395    1.395    2.599    3.994    136.990    140.984    2.92    0.29    1.03    64    67    9,424 
   12/31/15g  1.117    0.287    0.830    (1.992)   (1.162)   138.152    136.990    (0.84)c   0.31d   0.89d   47    73    10,027 

 

76 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 77
 
Financial highlights continued

 

College Retirement Equities Fund

 

      Selected per accumulation unit data   Ratios and supplemental data   
      Gain (loss) from investment operations                                      
                  Net realized               Ratios to average net assets       Portfolio   Accumulation     
   For the          Net   & unrealized   Net   Accumulation   Accumulation           Net       turnover rate   units   Accumulation 
   period          investment   gain (loss)   change in   unit value   unit value           investment   Portfolio   excluding     outstanding at   fund net 
   or year  Investment       income   on total   accumulation   beginning   end of   Total   Gross   income   turnover   mortgage   end of period   assets 
   ended  incomea   Expensesa   (loss)a    investments    unit value   of period   period   returnb   expenses   (loss)   rate   dollar rolls   (in millions)   (in millions)i 
EQUITY INDEX ACCOUNT                                                                    
Class R1:  6/30/17#  $1.720    $0.563    $1.157    $14.431    $15.588    $181.024    $196.612    8.61%c   0.59%d   1.22%d   4%c   4%c   19    $3,677 
   12/31/16   3.648    1.044    2.604    16.892    19.496    161.528    181.024    12.07    0.63    1.56    4    4    19    3,501 
   12/31/15h  3.254    0.765    2.489    (2.523)   (0.034)   161.562    161.528    (0.02)   0.47    1.52    5    5    20    3,260 
   12/31/14   2.937    0.558    2.379    15.145    17.524    144.038    161.562    12.17    0.37    1.58    4    4    104    16,841 
   12/31/13   2.546    0.531    2.015    33.715    35.730    108.308    144.038    32.99    0.42    1.59    5    5    108    15,563 
   12/31/12   2.391    0.442    1.949    12.978    14.927    93.381    108.308    15.98    0.43    1.89    4    4    109    11,797 
Class R2:  6/30/17#  1.729    0.308    1.421    14.505    15.926    181.880    197.806    8.76c   0.32d   1.49d   4c   4c   32    6,317 
   12/31/16   3.662    0.591    3.071    16.959    20.030    161.850    181.880    12.38    0.35    1.84    4    4    33    6,035 
   12/31/15g  2.443    0.414    2.029    (8.184)   (6.155)   168.005    161.850    (3.66)c   0.37d   1.81d   5    5    35    5,667 
Class R3:  6/30/17#  1.733    0.224    1.509    14.532    16.041    182.192    198.233    8.80c   0.24d   1.58d   4c   4c   40    7,978 
   12/31/16   3.667    0.419    3.248    16.983    20.231    161.961    182.192    12.49    0.25    1.94    4    4    42    7,570 
   12/31/15g  2.443    0.302    2.141    (8.185)   (6.044)   168.005    161.961    (3.60)c   0.27d   1.90d   5    5    44    7,061 
BOND MARKET ACCOUNT                                                                    
Class R1:  6/30/17#  1.819    0.392    1.427    1.413    2.840    117.249    120.089    2.42c   0.67d   2.42d   88c   49c   18    2,184 
   12/31/16   3.430    0.827    2.603    0.897    3.500    113.749    117.249    3.08    0.70    2.21    240    131    19    2,175 
   12/31/15h  3.015    0.637    2.378    (2.100)   0.278    113.471    113.749    0.25    0.56    2.07    293    123    19    2,149 
   12/31/14   2.665    0.494    2.171    3.764    5.935    107.536    113.471    5.52    0.44    1.95    290    89    117    13,254 
   12/31/13   2.485    0.482    2.003    (4.211)   (2.208)   109.744    107.536    (2.01)   0.45    1.85    363    105    119    12,814 
   12/31/12   2.835    0.482    2.353    3.163    5.516    104.228    109.744    5.29    0.45    2.19    356    117    130    14,222 
Class R2:  6/30/17#  1.829    0.233    1.596    1.424    3.020    117.802    120.822    2.56c   0.39d   2.70d   88c   49c   39    4,739 
   12/31/16   3.442    0.506    2.936    0.892    3.828    113.974    117.802    3.36    0.43    2.48    240    131    40    4,672 
   12/31/15g  2.181    0.369    1.812    (3.573)   (1.761)   115.735    113.974    (1.52)c   0.47d   2.31d   293    123    40    4,599 
Class R3:  6/30/17#  1.832    0.181    1.651    1.424    3.075    118.004    121.079    2.61c   0.31d   2.78d   88c   49c   54    6,479 
   12/31/16   3.446    0.385    3.061    0.891    3.952    114.052    118.004    3.47    0.32    2.58    240    131    54    6,370 
   12/31/15g  2.182    0.292    1.890    (3.573)   (1.683)   115.735    114.052    (1.45)c   0.37d   2.41d   293    123    55    6,237 
INFLATION-LINKED BOND ACCOUNT                                                              
Class R1:  6/30/17#  0.939    0.204    0.735    (0.428)   0.307    67.740    68.047    0.45c   0.60d   2.17d   12c   12c   16    1,074 
   12/31/16   1.465    0.433    1.032    1.474    2.506    65.234    67.740    3.84    0.64    1.52    23    23    16    1,107 
   12/31/15h   (0.930)   0.324    (1.254)   (0.034)   (1.288)   66.522    65.234    (1.94)   0.48    (1.87)   6    6    17    1,127 
   12/31/14   1.573    0.257    1.316    0.824    2.140    64.382    66.522    3.32    0.39    1.97    9    9    107    7,143 
   12/31/13   1.207    0.301    0.906    (7.289)   (6.383)   70.765    64.382    (9.02)   0.45    1.34    13    13    115    7,404 
   12/31/12   2.050    0.310    1.740    2.523    4.263    66.502    70.765    6.40    0.45    2.52    11    11    149    10,544 
Class R2:  6/30/17#  0.948    0.114    0.834    (0.433)   0.401    68.059    68.460    0.59c   0.33d   2.45d   12c   12c   31    2,123 
   12/31/16   1.471    0.249    1.222    1.475    2.697    65.362    68.059    4.13    0.37    1.80    23    23    31    2,123 
   12/31/15g  1.272    0.185    1.087    (3.973)   (2.886)   68.248    65.362    (4.23)c   0.41d   2.38d   6    6    32    2,118 
Class R3:  6/30/17#  0.949    0.083    0.866    (0.434)   0.432    68.176    68.608    0.63c   0.24d   2.54d   12c   12c   48    3,268 
   12/31/16   1.480    0.179    1.301    1.468    2.769    65.407    68.176    4.23    0.26    1.91    23    23    48    3,271 
   12/31/15g  1.274    0.140    1.134    (3.975)   (2.841)   68.248    65.407    (4.16)c   0.31d   2.48d   6    6    49    3,222 

 

78 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 79

 

 
Financial highlights concluded

 

College Retirement Equities Fund

 

      Selected per accumulation unit data        Ratios and supplemental data 
      Gain (loss) from investment operations             
                  Net realized                    Ratios to average net assets       Portfolio   Accumulation     
   For the          Net   & unrealized   Net   Accumulation   Accumulation           Net       turnover rate   units   Accumulation 
   period          investment   gain (loss)   change in   unit value   unit value           investment   Portfolio   excluding   outstanding   fund net 
   or year  Investment       income   on total   accumulation   beginning   end of   Total   Gross   income   turnover   mortgage   end of period   assets 
   ended  incomea   Expensesa   (loss)a   investments   unit value   of period   period   returnb   expenses   (loss)   rate   dollar rolls   (in millions)   (in millions)i 
SOCIAL CHOICE ACCOUNT                                                                  
Class R1:  6/30/17#  $2.831    $0.670    $2.161    $11.963    $14.124    $205.646    $219.770    6.87%c   0.63%d   2.04%d   37%c   21%c   11    $  2,355 
   12/31/16   5.437    1.336    4.101    9.343    13.444    192.202    205.646    7.00    0.68    2.07    93    50    11    2,287 
   12/31/15h  4.618    1.017    3.601    (5.795)   (2.194)   194.396    192.202    (1.13)   0.52    1.83    115    57    12    2,290 
   12/31/14   4.446    0.773    3.673    8.760    12.433    181.963    194.396    6.83    0.41    1.95    120    52    72    14,017 
   12/31/13   3.804    0.757    3.047    22.950    25.997    155.966    181.963    16.67    0.45    1.79    133    46    72    13,016 
   12/31/12   3.866    0.677    3.189    12.242    15.431    140.535    155.966    10.98    0.45    2.14    149    52    71    10,999 
Class R2:  6/30/17#  2.846    0.384    2.462    12.025    14.487    206.617    221.104    7.01c   0.36d   2.31d   37c   21c   22    4,919 
   12/31/16   5.455    0.798    4.657    9.377    14.034    192.583    206.617    7.29    0.40    2.35    93    50    23    4,784 
   12/31/15g  3.229    0.560    2.669    (11.025)   (8.356)   200.939    192.583    (4.16)c   0.42d   1.99d   115    57    25    4,750 
Class R3:  6/30/17#  2.852    0.290    2.562    12.047    14.609    206.972    221.581    7.06c   0.27d   2.40d   37c   21c   29    6,335 
   12/31/16   5.461    0.594    4.867    9.391    14.258    192.714    206.972    7.40    0.30    2.45    93    50    29    6,078 
   12/31/15g  3.230    0.427    2.803    (11.028)   (8.225)   200.939    192.714    (4.09)c   0.32d   2.09d   115    57    31    5,984 

 

      Selected per accumulation unit data       Ratios and supplemental data 
      Gain (loss) from investment operations                             
                  Net realized                   Ratios to average net assets   Accumulation     
   For the          Net   & unrealized   Net   Accumulation   Accumulation               Net   units   Accumulation 
   period          investment   gain (loss)   change in   unit value   unit value           Expenses   investment   outstanding   fund net 
   or year  Investment       income   on total   accumulation   beginning   end of   Total   Gross   net of TIAA   income   end of period   assets 
   ended  incomea    Expensesa   (loss)a    investments   unit value   of period   period   returnb   expenses   withholding   (loss)   (in millions)   (in millions)i 
MONEY MARKET ACCOUNT                                                       
Class R1:  6/30/17#  $0.089    $0.078    $0.011    $0.000    $0.011    $25.534    $25.545    0.05%c   0.60%d   0.61%d   0.12%d   74    $1,892 
   12/31/16   0.111    0.111    0.000    0.000    0.000    25.534    25.534    0.00    0.64    0.43    0.00    84    2,145 
   12/31/15h  0.036    0.036    0.000    0.000    0.000    25.534    25.534    0.00    0.50    0.14    0.00    87    2,225 
   12/31/14   0.029    0.029    0.000    0.000    0.000    25.534    25.534    0.00    0.39    0.11    0.00    441    11,261 
   12/31/13   0.036    0.036    0.000    0.000    0.000    25.534    25.534    0.00    0.41    0.14    0.00    461    11,774 
   12/31/12   0.044    0.044    0.000    0.000    0.000    25.534    25.534    0.00    0.42    0.17    0.00    458    11,701 
Class R2:  6/30/17#  0.089    0.052    0.037    0.000    0.037    25.549    25.586    0.14c   0.32d   0.42d   0.38d   112    2,873 
   12/31/16   0.111    0.096    0.015    0.000    0.015    25.534    25.549    0.06    0.36    0.37    0.08    129    3,306 
   12/31/15g  0.030    0.030    0.000    0.000    0.000    25.534    25.534    0.00c   0.40d   0.17d   0.00d   137    3,507 
Class R3:  6/30/17#  0.089    0.044    0.045    0.000    0.045    25.567    25.612    0.18c   0.24d   0.36d   0.47d   182    4,652 
   12/31/16   0.111    0.078    0.033    0.000    0.033    25.534    25.567    0.13    0.26    0.30    0.17    205    5,231 
   12/31/15g  0.030    0.030    0.000    0.000    0.000    25.534    25.534    0.00c   0.30d   0.17d   0.00d   215    5,499 

 

# Unaudited
a Based on average units outstanding.
b Based on per accumulation unit data.
c The percentages shown for this period are not annualized.
d The percentages shown for this period are annualized.
g Classes R2 and R3 commenced operations on April 24, 2015.
h Prior to April 24, 2015, CREF offered only one class of units, which became Class R1 on that date.
i Does not include annuity net assets.

 

80 2017 Semiannual Report  ■  College Retirement Equities Fund See notes to financial statements See notes to financial statements College Retirement Equities Fund  ■  2017 Semiannual Report 81
 

Notes to financial statements (unaudited)

 

College Retirement Equities Fund

 

Note 1—organization and significant accounting policies

 

The purpose of the College Retirement Equities Fund (“CREF”), as stated in its charter, is to aid and strengthen non-profit educational and research organizations, governmental entities, and other non-profit institutions by providing their employees with variable retirement benefits. CREF is registered with the Securities and Exchange Commission (“Commission”) under the Investment Company Act of 1940, as amended (“1940 Act”), as an open-end management investment company. It consists of eight investment portfolios: the Stock, Global Equities, Growth, Equity Index, Bond Market, Inflation-Linked Bond, Social Choice and Money Market Accounts (individually referred to as the “Account” or collectively referred to as the “Accounts”).

 

The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”), which may require the use of estimates made by management and the evaluation of subsequent events. Actual results may differ from those estimates. The Accounts are investment companies and follow the accounting guidance in the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification 946, Financial Services—Investment Companies. The Accumulation Unit Value (“AUV”) for financial reporting purposes may differ from the AUV for processing transactions. The AUV for financial reporting purposes includes security and participant transactions through the date of the report. Total return is computed based on the AUV used for processing transactions. The following is a summary of the significant accounting policies consistently followed by the Accounts.

 

Security valuation: For all Accounts (other than the Money Market Account), investments in securities are recorded at their estimated fair value as described in the valuation of investments note to the financial statements. Investments held by the Money Market Account are recorded at amortized cost, which approximates fair value. The amortized cost of an instrument is determined by valuing it at its original cost and thereafter accreting or amortizing any discount or premium to its face value at a constant rate until maturity.

 

Accumulation and Annuity Funds: The Accumulation Fund represents the net assets attributable to participants in the accumulation phase of their investment. The Annuity Fund represents the net assets attributable to the participants currently receiving annuity payments. The net increase or decrease in net assets from investment operations is apportioned between the funds based upon their relative daily net asset values. Annuitants bear the mortality risk under their contracts. Initial annuity payments are calculated based on the value of a participant’s accumulation on the last valuation day before the annuity start date, the income option chosen, an assumed annual investment return, and expense and mortality assumptions. Annuity payments vary after the initial payment based on investment performance, Account expenses, and mortality experience. Death benefits are paid to beneficiaries if the annuitant dies during the accumulation period, or during the annuity period while payments are still due for the remainder of a guaranteed period.

 

82 2017 Semiannual Report  ■  College Retirement Equities Fund
 

Investments and investment income: Securities transactions are accounted for as of the trade date for financial reporting purposes. Interest income is recorded as earned and includes accretion of discounts and amortization of premiums using the effective yield method. Dividend income is recorded on the ex-dividend date. Foreign dividend income is recorded on the ex-dividend date or as soon as possible after the Accounts determine the existence of a dividend declaration after exercising reasonable due diligence. Realized gains and losses on securities transactions are based upon the specific identification method. Distributions received on securities that represent a return of capital or capital gains are recorded as a reduction of cost of investments and/or as a realized gain. The Accounts estimate the components of distributions received that may be considered return of capital distributions or capital gain distributions.

 

Income, expenses, realized gains and losses and unrealized appreciation and depreciation of an Account are allocated on a pro rata basis to each class, except for administrative service fees and distribution fees, which are unique to each class of each Account. Most expenses of CREF can be directly attributed to an Account or class. Expenses that cannot be directly attributed are allocated based upon the average net assets of each Account or class.

 

Foreign currency transactions and translation: Assets, including investments, and liabilities denominated in foreign currencies are translated into U.S. dollar values each day using exchange rates obtained from an independent third party. Purchases and sales of securities, income, and expenses are translated into U.S. dollars at the prevailing exchange rate on the date of the transaction. The effect of changes in foreign currency exchange rates on realized and unrealized security gains and losses is reflected as a component of security gains and losses.

 

Income taxes: CREF is taxed as a life insurance company under Subchapter L of the Internal Revenue Code. CREF should incur no federal income tax liability. Under the rules of taxation applicable to life insurance companies, CREF’s Accumulation and Annuity Funds for participants will generally be treated as life insurance reserves; therefore, any increase in such reserves will be deductible. CREF files income tax returns in U.S. federal and applicable state jurisdictions. CREF’s federal income tax return is generally subject to examination for a period of three fiscal years after being filed. State and local tax returns may be subject to examination for an additional period of time depending on the jurisdiction. Management has analyzed the Accounts’ tax positions taken for all open federal income tax years and has concluded that no provision for federal income tax is required in the Accounts’ financial statements.

 

Foreign taxes: The Accounts may be subject to foreign taxes on income, gains on investments or currency repatriation, a portion of which may be recoverable. The Accounts will accrue such taxes and recoveries as applicable, based upon the current interpretation of tax rules and regulations that exist in the markets in which the Accounts invest.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 83
 

Notes to financial statements (unaudited)

 

Trustee compensation: The Accounts pay the members of the Board of Trustees (“Board”), all of whom are independent, certain remuneration for their services, plus travel and other expenses. Trustees may elect to participate in a deferred compensation plan and defer all or a portion of their compensation. In addition, trustees participate in a long-term compensation plan. Amounts deferred are retained by the Accounts until paid. Amounts payable to the trustees for compensation are included in the accompanying Statements of Assets and Liabilities. Trustees’ fees, including any deferred and long-term compensation incurred, are reflected in the Statements of Operations.

 

New accounting pronouncement: In March 2017, the FASB issued ASU 2017-08, Premium Amortization on Purchased Callable Debt Securities. ASU 2017-01 shortens the premium amortization period on a purchased callable debt security from the security’s contractual life to the earliest call date. It is anticipated that this change will reduce losses recognized when a security is called on an earlier date. This guidance is effective for fiscal years beginning after December 15, 2018. Management has determined that the adoption of this guidance will not materially impact the Accounts’ financial statement disclosures.

 

New rule issuances: In October 2016, the Commission issued Final Rule Release No. 33-10231, Investment Company Reporting Modernization. This final rule modernizes investment company reporting by requiring the filing of new Forms N-PORT and N-CEN, and amends Regulation S-X disclosures related to derivatives and other disclosures in the financial statements and other filings. The requirements of this final rule in relation to Forms N-PORT and N-CEN must be adopted by June 1, 2018, while the amended disclosures must be adopted by August 1, 2017. Management is currently assessing the impact of Forms N-PORT and N-CEN on the Accounts’ various filings. The amended S-X disclosures required under this rule will not have an impact on net assets or results of operations but may result in changes to financial statement disclosures.

 

In October 2016, the Commission issued Final Rule Release No. 33-10233, Investment Company Liquidity Risk Management Programs. This final rule requires accounts to establish a liquidity risk management program and enhances disclosures regarding accounts’ liquidity. The requirements of this final rule must be adopted by December 1, 2018. Management is currently assessing the impact of this rule to the Accounts’ financial statements and other filings.

 

In March 2017, the Commission issued Final Rule Release No. 34-80295, Amendment to Securities Transaction Settlement Cycle. This final rule shortens the standard settlement cycle from T+3 to T+2. It is expected that this shortened settlement time will decrease certain risks due to the reduction of unsettled trades and risk exposure. The compliance date for this final rule is September 5, 2017. This rule is not expected to materially impact the Accounts’ financial statements and other filings.

 

84 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

Note 2—valuation of investments

 

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

 

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

 

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

 

In accordance with ASC 820, certain portfolio investments that are measured at fair value using the net asset value per share practical expedient are not categorized within the fair value hierarchy. These investments will be disclosed at their fair value to allow reconciliation back to the Statements of Assets and Liabilities. As of June 30, 2017, no investments were valued utilizing the practical expedient.

 

A description of the valuation techniques applied to the Accounts’ major categories of assets and liabilities measured at fair value follows:

 

Exchange-traded equity securities, common and preferred stock: Equity securities listed or traded on a national market or exchange are valued based on their sale price at the official close of business of such market or exchange on the valuation date, or if there is no official close of business, the latest sale price, or at the mean of the latest available bid and asked prices if no sale is reported. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized in Level 1 of the fair value hierarchy. Foreign equity securities are valued at the last sale price or official closing price reported on the exchange where traded and converted to U.S. dollars at the prevailing rates of exchange on the date of valuation. For events affecting the value of foreign securities between the time when the exchange on which they are traded closes and the time when the Accounts’ net assets are calculated, such securities will be valued at fair value in accordance with procedures adopted by the Board. Foreign securities are generally categorized as Level 2 of the fair value hierarchy.

 

Debt securities: Debt securities, including equity-linked notes, will generally be valued using prices provided by a pricing service that may employ various indications of

 

College Retirement Equities Fund  ■  2017 Semiannual Report 85
 

Notes to financial statements (unaudited)

 

value including but not limited to broker-dealer quotations. Certain debt securities, other than money market instruments, are valued based on the most recent bid price or the equivalent quoted yield for such securities (or those of comparable maturity, quality and type). Debt securities are generally categorized as Level 2 of the fair value hierarchy; in instances where prices, yields or any other key inputs are unobservable, they are categorized as Level 3 of the hierarchy.

 

The Money Market Account: The Money Market Account’s portfolio securities are valued on an amortized cost basis. Money Market investments are generally categorized as Level 2 of the fair value hierarchy.

 

Investments in registered investment companies: These investments are valued at their net asset value on the valuation date. These investments are categorized as Level 1 of the fair value hierarchy.

 

Futures contracts: Stock and bond index futures contracts, which are traded on commodity exchanges, are valued at the last sale price as of the close of such commodity exchanges and are categorized as Level 1 of the fair value hierarchy.

 

Options: Purchased and written options listed or traded on a national market or exchange are valued at the last sale price as of the close of such exchange or at the mean of the closing bid and asked prices if no sale is reported. To the extent these securities are actively traded and valuation adjustments are not applied, they are categorized as Level 1 of the fair value hierarchy.

 

Total return swap contracts: Total return swap contracts are marked-to-market daily based upon a price supplied by a pricing service. Total return swaps are generally categorized as Level 2 in the fair value hierarchy.

 

Forward foreign currency contracts: Forward foreign currency contracts are valued using the prevailing forward exchange rate and are categorized as Level 2 of the fair value hierarchy.

 

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

 

Transfers between levels are recognized at the end of the reporting period. For the period ended June 30, 2017, there were no material transfers between levels by the Accounts.

 

As of June 30, 2017, 100% of the value of investments in the Inflation-Linked Bond and Money Market Accounts were valued based on Level 2 inputs.

 

The following table summarizes the market value of the Accounts’ investments as of June 30, 2017, based on the inputs used to value them (dollar amounts are in thousands):

 

86 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

Account   Level 1    Level 2   Level 3    Total 
Stock                    
Equity investments:                    
Consumer discretionary  $10,896,390   $4,547,322   $368   $15,444,080 
Consumer staples   6,398,884    3,132,570    119    9,531,573 
Energy   5,211,285    1,902,746    585    7,114,616 
Financials   12,343,141    7,554,946    740    19,898,827 
Health care   11,487,651    2,745,279    411    14,233,341 
Industrials   9,164,337    4,428,148    1,093    13,593,578 
Information technology   18,608,528    3,642,052    282    22,250,862 
Materials   3,075,549    2,945,739    735    6,022,023 
Real estate   2,870,748    1,518,778    4,711    4,394,237 
Telecommunication services   1,584,417    1,289,151    3    2,873,571 
Utilities   2,314,155    1,003,526    1,902    3,319,583 
Corporate bonds           327    327 
Government bonds       298        298 
Short-term investments       3,104,199        3,104,199 
Purchased options**   1,859            1,859 
Written options**   (1,141)           (1,141)
Futures contracts**   (484)           (484)
Swaps contracts**       (221)       (221)
Total  $83,955,319   $37,814,533   $11,276   $121,781,128 
Global Equities                    
Equity investments:                    
Asia  $935   $1,492,012   $   $1,492,947 
Australasia   20,492    257,788    2    278,282 
Europe   40,584    3,382,925        3,423,509 
North America   11,420,928    560,693        11,981,621 
All other equity investments*   182,053    1,546,511    14    1,728,578 
Short-term investments       712,425        712,425 
Futures contracts**   (1,093)           (1,093)
Total  $11,663,899   $7,952,354   $16   $19,616,269 
Growth                    
Equity investments:                    
Consumer discretionary  $4,697,039   $143,598   $   $4,840,637 
Consumer staples   1,217,203    71,594        1,288,797 
Health care   3,145,296    153,343        3,298,639 
Information technology   8,612,850    205,069        8,817,919 
All other equity investments*   4,662,997            4,662,997 
Short-term investments   97,727    219,742        317,469 
Futures contracts**   (543)           (543)
Total  $22,432,569   $793,346   $   $23,225,915 

 

College Retirement Equities Fund  ■  2017 Semiannual Report 87
 

Notes to financial statements (unaudited)

 

Account   Level 1    Level 2   Level 3    Total 
Equity Index                    
Equity investments:                    
Health care  $2,562,024   $   $109   $2,562,133 
Industrials   1,969,157        158    1,969,315 
All other equity investments*   13,807,437            13,807,437 
Short-term investments   213,284    9,300        222,584 
Futures contracts**   (2)           (2)
Total  $18,551,900   $9,300   $267   $18,561,467 
Bond Market                    
Bank loan obligations  $   $90,312   $   $90,312 
Corporate bonds       4,914,341        4,914,341 
Government bonds       6,037,520        6,037,520 
Structured assets       2,375,900    949    2,376,849 
Preferred stocks   11,361            11,361 
Short-term investments       595,101        595,101 
Forward foreign currency contracts**       (444)       (444)
Total  $11,361   $14,012,730   $949   $14,025,040 
Social Choice                    
Equity investments:                    
Consumer discretionary  $757,460   $312,007   $   $1,069,467 
Consumer staples   457,493    224,857        682,350 
Energy   324,250    145,508        469,758 
Financials   943,745    599,446        1,543,191 
Health care   815,913    246,157        1,062,070 
Industrials   628,040    333,448    19    961,507 
Information technology   1,184,799    134,892        1,319,691 
Materials   226,850    213,951        440,801 
Real estate   235,341    88,666        324,007 
Telecommunication services   111,949    108,416        220,365 
Utilities   184,869    90,840        275,709 
Bank loan obligations       35,555        35,555 
Corporate bonds       1,620,545        1,620,545 
Government bonds       3,381,583        3,381,583 
Structured assets       452,967    16,206    469,173 
Short-term investments       417,144        417,144 
Total  $5,870,709   $8,405,982   $16,225   $14,292,916 

 

* For detailed categories, see the accompanying Summary portfolio of investments.
** Derivative instruments, excluding purchased options, are not reflected in the Summary portfolio of investments.

 

Note 3—derivative instruments

 

As defined by U.S. GAAP, a derivative is a financial instrument whose value is derived from an underlying security price, foreign exchange rate, interest rate, index of prices or rates, or other variables. Derivatives require little or no initial investment and permit or require net settlement. The Accounts value derivatives at fair value.

 

88 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

At June 30, 2017, the following Accounts have invested in derivative contracts which are reflected in the Statements of Assets and Liabilities as follows (dollar amounts are in thousands):

 

   Asset derivatives  Liabilities derivatives
Derivative contracts  Location  Fair value
amount
   Location  Fair value
amount
 
Stock Account                
Equity contracts  Futures contracts*  $(484)  Written options  $(1,141)
   Portfolio investments   1,859   Swap contracts   (221)
Global Equities Account                
Equity contracts  Futures contracts*   (1,093)        
Growth Account                
Equity contracts  Futures contracts*   (543)        
Equity Index Account                
Equity contracts  Futures contracts*   (2)        
Bond Market Account          Forward foreign     
Foreign exchange contracts          currency contracts   (444)

 

* The fair value presented includes cumulative gain (loss) on open futures contracts; however, the value reflected in the accompanying Statements of Assets and Liabilities is only the receivable or payable for variation margin on open futures contracts.

 

For the period ended June 30, 2017, the effect of derivative contracts on the Accounts’ Statements of Operations was as follows (dollar amounts are in thousands):

 

Derivative contracts  Location  Realized
gain (loss)
   Change in
unrealized
appreciation
(depreciation)
 
Stock Account             
Equity contracts  Futures contracts  $16,336    $   1,068 
Equity contracts  Purchased options   1,715    (426)
Equity contracts  Written options   (211)   148 
Equity contracts  Swap contracts   (980)   (591)
Global Equities Account             
Equity contracts  Futures contracts   7,813    (1,024)
Growth Account             
Equity contracts  Futures contracts   9,505    (62)
Equity Index Account             
Equity contracts  Futures contracts   (14)   (2)
Bond Market Account             
Foreign exchange contracts  Forward foreign currency contracts   (7,491)   (2,554)

 

Futures contracts: Certain Accounts are subject to equity price risk in the normal course of pursuing their investment objectives. The Accounts use futures contracts to manage exposure to the equity markets and for cash management purposes to remain highly invested in these markets while minimizing transaction costs. Buying

 

College Retirement Equities Fund  ■  2017 Semiannual Report 89
 

Notes to financial statements (unaudited)

 

futures contracts tends to increase exposure to the underlying instrument/index, while selling futures contracts tends to decrease exposure to the underlying instrument/ index or hedge other investments. Initial margin deposits are made upon entering into a futures contract, and variation margin receipts or payments are settled daily reflecting changes in the value of the futures contracts. Daily changes in the value of such contracts are reflected in net unrealized gains and losses. Gains or losses are realized upon the expiration or closing of the futures contracts or if the counterparties do not perform in accordance with contractual provisions. With futures contracts, there is minimal counterparty credit risk to the Accounts since futures contracts are exchange-traded and the exchange’s clearinghouse, as counterparty to all exchange-traded funds, guarantees the futures contracts against default. During the period ended June 30, 2017, the Stock Account, the Global Equities Account, the Growth Account and the Equity Index Account had exposure to futures contracts, based on underlying notional values, generally between 0% and 1% of net assets.

 

At June 30, 2017, the Accounts held the following open futures contracts (dollar amounts are in thousands):

 

Account  Futures contracts  Number of
long (short)
contracts
   Settlement
value
   Expiration
date
 Unrealized
gain (loss)
 
Stock  Russell 2000 Mini Index   191     $13,507   September 2017    $(9)
   S&P Mid-Cap 400 E-Mini Index   102      17,810   September 2017     104 
   S&P 500 E Mini Index   1,184      143,317   September 2017     (579)
Total      1,477     $174,634        $(484)
Global Equities  Mini MSCI EAFE Index   156      14,739   September 2017     (55)
   S&P 500 E Mini Index   1,844      223,207   September 2017     (1,038)
Total      2,000      237,946         (1,093)
Growth  S&P 500 E Mini Index   1,250      151,306   September 2017     (543)
Equity Index  S&P 500 E Mini Index   16      1,937   September 2017     (2)

 

Options: Certain Accounts are subject to equity price risk in the normal course of pursuing their investment objectives. To manage the risk, the Accounts may invest in both equity and index options. The Accounts use options contracts for hedging and cash management purposes and to seek to increase total return. Call and put equity options give the holder the right, in return for a premium paid, to purchase or sell, respectively, a security at a specified exercise price at any time during the period of the option. Index options are written or purchased options in which the underlying investment is a specified index. The exercise of an index option will not result in the physical delivery of the underlier, but a cash transfer of the difference between the settlement price of the underlier and the strike price of the option. Purchased options are included in the summary portfolio of investments, and written options are separately reflected as a liability in the Statements of Assets and Liabilities. Premiums on unexercised, expired options are recorded as realized gains or losses; premiums on exercised options are recorded as an adjustment to the proceeds from the sale or cost of the purchase. The difference between the premium and the

 

90 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

amount received or paid in a closing transaction is also treated as a realized gain or loss. Risks related to the use of options include possible illiquidity of the options markets, price movements in underlying security values, and losses that may exceed amounts recognized on the Statements of Assets and Liabilities. During the period ended June 30, 2017, the Stock Account had exposure to options, based on underlying notional values, generally between 0% and 1% of net assets.

 

Purchased options outstanding as of June 30, 2017 were as follows (dollar amounts are in thousands):

 

   Number of contracts   Value 
Stock Account          
Alexion Pharmaceuticals, Inc, Call, 1/19/18 at $130   20   $22 
Alnylam Pharmaceuticals, Inc, Call, 1/19/18 at $60   10    26 
BioMarin Pharmaceutical, Inc, Call, 1/19/18 at $100   15    8 
Cisco Systems, Inc, Call, 1/19/18 at $36   50    1 
E*TRADE Financial Corp, Call, 7/21/17 at $41   25    0^
Home Depot, Inc, Call, 1/19/18 at $160   30    15 
Illumina, Inc, Call, 12/15/17 at $190   15    19 
Intel Corp, Call, 7/21/17 at $38   20    0^
Microsoft Corp, Call, 7/28/17 at $71   7,000    686 
Microsoft Corp, Call, 8/4/17 at $71   8,000    896 
Microsoft Corp, Put, 8/18/17 at $65   25    2 
Pinnacle Foods, Inc, Call, 9/15/17 at $65   20    2 
S&P 500 Index, Call, 12/15/17 at $2400   20    181 
Seattle Genetics, Inc, Call, 12/15/17 at $75   5    1 
Total   15,255   $1,859 

 

Written options outstanding as of June 30, 2017 were as follows (dollar amounts are in thousands):

 

   Number of contracts   Value 
Stock Account          
Alexion Pharmaceuticals, Inc, Call, 1/19/18 at $155   20   $(8)
Alexion Pharmaceuticals, Inc, Put, 1/19/18 at $90   20    (6)
Alnylam Pharmaceuticals, Inc, Call, 1/19/18 at $105   10    (6)
Alnylam Pharmaceuticals, Inc, Call, 1/19/18 at $80   20    (29)
Apple, Inc, Put, 7/21/17 at $130   15    (0)^
Apple, Inc, Call, 7/21/17 at $160   5    (0)^
Apple, Inc, Put, 8/18/17 at $140   40    (13)
Apple, Inc, Put, 11/17/17 at $115   20    (2)
Apple, Inc, Put, 11/17/17 at $95   20    (0)^
Applied Materials, Inc, Call, 7/7/17 at $51.50   20    (0)^
Applied Materials, Inc, Put, 7/21/17 at $38.50   30    (1)
Bank of America Corp, Call, 7/21/17 at $28   30    (0)^
Bank of America Corp, Put, 7/21/17 at $19   30    (0)^
BioMarin Pharmaceutical, Inc, Call, 1/19/18 at $110   15    (4)
BioMarin Pharmaceutical, Inc, Put, 1/19/18 at $80   15    (7)
Broadcom Ltd, Call, 7/7/17 at $270   10    (0)^
Broadcom Ltd, Call, 7/21/17 at $280   15    (0)^
Cisco Systems, Inc, Put, 1/19/18 at $28   50    (4)
Cisco Systems, Inc, Call, 1/19/18 at $38   50    (1)
Cisco Systems, Inc, Call, 1/19/18 at $40   50    (0)^

 

College Retirement Equities Fund  ■  2017 Semiannual Report 91
 

Notes to financial statements (unaudited)

 

   Number of contracts   Value 
Stock Account          
Discover Financial Services, Put, 7/7/17 at $56   25   $(0)^
E*TRADE Financial Corp, Put, 7/21/17 at $30   25    (0)^
E*TRADE Financial Corp, Call, 7/21/17 at $45   25    (0)^
FedEx Corp, Put, 7/21/17 at $195   20    (0)^
HD Supply Holdings, Inc, Put, 7/21/17 at $30   25    (1)
Home Depot, Inc, Put, 1/19/18 at $135   30    (9)
Home Depot, Inc, Call, 1/19/18 at $170   30    (7)
Illumina, Inc, Call, 12/15/17 at $230   30    (10)
Illumina, Inc, Put, 12/15/17 at $145   15    (8)
Intel Corp, Call, 7/21/17 at $39   40    (0)^
Kroger Co, Put, 7/21/17 at $20   30    (0)^
Mattel, Inc, Put, 7/21/17 at $18   30    (0)^
Microsoft Corp, Call, 7/28/17 at $74   7,000    (175)
Microsoft Corp, Put, 7/28/17 at $66   3,000    (204)
Microsoft Corp, Put, 8/4/17 at $65   3,000    (194)
Microsoft Corp, Call, 8/4/17 at $74   8,000    (272)
Microsoft Corp, Put, 8/18/17 at $60   25    (1)
Microsoft Corp, Put, 8/18/17 at $62.50   25    (1)
Monsanto Co, Put, 1/19/18 at $80   20    (1)
Norwegian Cruise Line Holdings Ltd, Call, 7/21/17 at $57.50   30    (1)
NVIDIA Corp, Call, 7/7/17 at $170   25    (0)^
NVIDIA Corp, Call, 7/21/17 at $180   30    (1)
NVIDIA Corp, Put, 8/18/17 at $130   30    (13)
Palo Alto Networks, Inc, Put, 9/15/17 at $90   10    (0)^
Palo Alto Networks, Inc, Put, 9/15/17 at $95   10    (0)^
Pinnacle Foods, Inc, Put, 9/15/17 at $60   20    (6)
Pinnacle Foods, Inc, Call, 9/15/17 at $70   20    (1)
Pioneer Natural Resources Co, Put, 7/7/17 at $140   20    (0)^
Post Holdings, Inc, Put, 7/21/17 at $70   25    (0)^
PVH Corp, Call, 8/18/17 at $125   20    (2)
S&P 500 Index, Call, 12/15/17 at $2500   40    (150)
Seattle Genetics, Inc, Call, 12/15/17 at $90   10    (1)
Symantec Corp, Put, 7/21/17 at $26   25    (1)
United States Oil Fund LP, Put, 7/21/17 at $9   20    (0)^
Williams Cos, Inc, Put, 7/21/17 at $26   30    (0)^
WPX Energy, Inc, Put, 7/21/17 at $9   50    (1)
WR Grace & Co, Put, 7/21/17 at $62.50   25    (0)^
Total   22,320   $(1,141)

 

^ Amount represents less than $1,000.

 

Transactions in written options and related premiums received during the period ended June 30, 2017 were as follows (dollar amounts are in thousands):

 

   Number of contracts   Premiums 
Stock Account          
Outstanding at beginning of period   877   $239 
Written   222,425    5,097 
Purchased   (44,673)   (1,259)
Exercised   (440)   (87)
Expired   (155,869)   (2,622)
Outstanding at end of period   22,320   $1,368 

 

92 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

Total return swap contracts: Total return swaps are agreements that provide an Account with a return based on the performance of an underlying asset, in exchange for fee payments to a counterparty based on a specific rate. To the extent the total return of the reference security or index underlying the total return swap exceeds or falls short of the offsetting interest rate obligation, the Account will receive a payment or make a payment to the counterparty, respectively. Payments received or made at the end of each measurement period are recorded as a realized gain or loss in the Statements of Operations. The swap is valued daily and any change in the value of the swap is reflected separately as a change in unrealized appreciation (depreciation) in the Statements of Operations. The value of the swap contract is reflected in unrealized appreciation (depreciation) on swap agreements in the Statements of Assets and Liabilities. Total return swaps are exposed to the market risk factor of the specific underlying financial instrument or index. Additional risks to the Account include the possibility that there is no liquid market for these agreements or that the counterparty may default on its obligation to perform. The Account’s maximum loss from counterparty risk is the fair value of the contract. The Stock Account is currently invested in a total return swap contract to gain exposure to certain equity markets. During the period ended June 30, 2017 the Stock Account’s exposure to total return swaps, based on underlying notional amounts, was generally between 0% and 1% of net assets.

 

At June 30, 2017, the Stock Account held the following open total return swap contracts (dollar amounts are in thousands):

 

            Fixed payments       Unrealized
    Notional   Termination   paid by fund   Total return received   appreciation
Counterparty   amount   date   per annum   by or paid by account   (depreciation)
Goldman Sachs   8,000   9/6/2017   0.30%   GSVIUS71 Index   $(221)

 

Forward foreign currency contracts: Certain Accounts are subject to foreign exchange risk in the normal course of pursuing their investment objectives. The Accounts use forward foreign currency contracts (“forwards”), including non-deliverable forwards (“NDFs”), to, among other things, hedge portfolio currency risk and to facilitate transactions in securities denominated in foreign currencies. Forwards are over-the-counter (“OTC”) commitments that involve an obligation to purchase or sell a fixed amount of a specific currency on a future date at a locked exchange rate. NDFs allow hedging of currencies where government regulations restrict foreign access to local currency or the parties want to compensate for risk without a physical exchange of funds. Forwards are marked-to-market daily at the applicable foreign exchange rate, and any resulting unrealized gains or losses are recorded as appreciation or depreciation in the Statements of Assets and Liabilities. The Accounts realize gains and losses at the time the forward is closed. Realized and unrealized gains and losses are included in the Statements of Operations. Risks may arise upon entering into these contracts from the potential inability of counterparties to meet the terms of their contracts; from unanticipated movements in the value of a foreign currency relative to the U.S. dollar; and that losses may exceed amounts recognized on the

 

College Retirement Equities Fund  ■  2017 Semiannual Report 93
 

Notes to financial statements (unaudited)

 

Statements of Assets and Liabilities. During the period ended June 30, 2017, the Bond Market Account had exposure to forwards, based on underlying notional values, generally between 0% and 2%.

 

At June 30, 2017, the Accounts held the following open forward contracts (dollar amounts are in thousands):

 

                  Unrealized 
       Contract          appreciation 
Account   Counterparty  settlement date  Receive   Deliver   (depreciation) 
Bond   Bank of America  7/31/2017  $6,767   AUD 8,843   $(26)
     Bank of America  7/31/2017  $1,253   DKK 8,163    (3)
     Bank of America  7/31/2017  EUR 4   $4     
     Bank of America  7/31/2017  $570   EUR 498    (1)
     Bank of America  7/31/2017  $6   GBP 5     
     Bank of America  7/31/2017  $20,653   GBP 15,894    (69)
     Bank of America  7/31/2017  $595   NZD 818    (4)
     Bank of America  7/31/2017  $6,931   SEK 58,944    (78)
     Total               $(181)
     Morgan Stanley  7/31/2017  $7,314   CAD 9,523   $(34)
     Morgan Stanley  7/31/2017  $88,259   EUR 77,206    (71)
     Morgan Stanley  7/31/2017  $38,586   JPY 4,349,978    (143)
     Morgan Stanley  7/31/2017  $10,244   KRW 11,744,654    (16)
     Morgan Stanley  7/31/2017  $1,698   PLN 6,327    (9)
     Morgan Stanley  7/31/2017  $781   THB 26,548    (1)
     Morgan Stanley  7/31/2017  $1,629   ZAR 21,288    11 
     Total               $(263)
     Total               $(444)

 

Abbreviation(s):

AUD Australian Dollar
CAD Canadian Dollar
DKK Danish Krone
EUR Euro
GBP Pound Sterling
JPY Japanese Yen
KRW Korean Won
NZD New Zealand Dollar
PLN Polish Zloty
SEK Swedish Krona
THB Thailand Baht
ZAR South African Rand

 

Note 4—investment adviser and affiliates

 

Investment advisory services for the Accounts are provided by TIAA-CREF Investment Management, LLC (“TCIM”) in accordance with an Investment Management Services Agreement. TCIM is a registered investment adviser and a wholly owned subsidiary of Teachers Insurance and Annuity Association of America (“TIAA”), a companion organization of CREF. Investment management expenses generally include

 

94 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

investment management, portfolio accounting and custodial services and are the same across all classes of an Account.

 

Administrative services are provided to the Accounts by TIAA, pursuant to an Administrative Services Agreement with CREF. Distribution functions are provided to the Accounts by TIAA-CREF Individual & Institutional Services, LLC (“Services”), a wholly owned subsidiary of TIAA, pursuant to a Principal Underwriting and Distribution Services Agreement with CREF and the Rule 12b-1 plan. Teachers Personal Investors Services, Inc. (“TPIS”), a wholly owned subsidiary of TIAA, may also provide distribution functions for the Accounts on a limited basis. Participants invested in a particular CREF Account will be subject to different administrative and distribution expenses depending upon the class of the Account they own.

 

TIAA charges a mortality and expense charge of 0.005% to guarantee that CREF participants transferring Accounts to TIAA for the immediate purchase of lifetime payout annuities will not be charged more than the rate stipulated in the CREF contract. This charge is the same across all Accounts and classes.

 

The services provided by TCIM, Services, TPIS, and TIAA are provided to CREF at cost, and CREF also reimburses TCIM, Services, TPIS, and TIAA for certain third party expenses and trustee fees paid on its behalf. Payments from the CREF Accounts are made on a daily basis according to formulas established each year with the objective of keeping the estimated expenses as close as possible to each Account’s actual expenses. Any differences between actual expenses and the estimated expenses remitted are adjusted.

 

As of June 30, 2017, the following table represents the effective expense deductions as an annual percentage of average daily net assets to approximate the costs that CREF incurred:

 

   Investment                         
   management                         
   fee   Administrative service fee   Distribution fee 
Account  All classes   Class R1   Class R2   Class R3   Class R1   Class R2   Class R3 
Stock   0.117%   0.407%   0.222%   0.149%   0.162%   0.077%   0.061%
Global Equities   0.160    0.407    0.222    0.149    0.162    0.077    0.061 
Growth   0.057    0.407    0.222    0.149    0.162    0.077    0.061 
Equity Index   0.020    0.407    0.222    0.149    0.162    0.077    0.061 
Bond Market   0.090    0.407    0.222    0.149    0.163    0.076    0.061 
Inflation-Linked Bond   0.029    0.407    0.222    0.149    0.163    0.076    0.061 
Social Choice   0.057    0.407    0.222    0.149    0.163    0.076    0.061 
Money Market   0.022    0.407    0.221    0.149    0.163    0.076    0.061 

 

Between July 16, 2009 and April 14, 2017, TIAA withheld (“waived”) a portion of the distribution Rule 12b-1 and as necessary, administrative expenses for the Money Market Account. For the period ended June 30, 2017, these amounts totaled to $137,000 for Class R1, $0 for Class R2 and $0 for Class R3. TIAA terminated the waiver on April 14, 2017. TIAA may, for a period of three years after the date an

 

College Retirement Equities Fund  ■  2017 Semiannual Report 95
 

Notes to financial statements (unaudited)

 

amount was waived, recover from the Account a portion of the amounts waived at such time as the class’s daily yield would be positive absent the effect of the waiver, and in such event the amount of recovery on any day will be approximately 25% of the class’s yield (net of all expenses) on that day. As a result of the conversion, previously recoverable amounts have been allocated to the newly formed classes, using conversion date April 24, 2015 end of day net assets. For the period ended June 30, 2017, TIAA recovered previously waived expenses from the Account of $298,000 for Class R1, $2,115,000 for Class R2 and $5,395,000 for Class R3. As of June 30, 2017, the cumulative amount of expenses waived subject to recovery is $16,962,000 for Class R1, $13,229,000 for Class R2 and $17,121,000 for Class R3. The amounts waived and recovered during the current period are disclosed on the Statements of Operations.

 

Amounts owed to Account affiliates for payment of Account expenses, payments for units purchased, and receipt for units sold are disclosed as due to/from affiliates on the Statements of Assets and Liabilities. Account expenses owed to affiliates are reflected in the Statements of Operations.

 

The Accounts may purchase or sell investment securities in transactions with affiliated entities under procedures adopted by the Board, pursuant to the 1940 Act. These transactions are effected at market rates without incurring broker commissions. For the period ended June 30, 2017, the Accounts engaged in the following security transactions with affiliated entities (dollar amounts are in thousands):

 

           Realized 
Account  Purchases   Sales   gain (loss) 
Stock   $223,773    $935,596    $123,343 
Global Equities   105,325    172,709    30,735 
Growth   95,179    201,317    49,411 
Equity Index   7,505    89,023    12,884 
Bond Market   2,172         
Social Choice   29,709    31,408    6,821 

 

Companies in which an Account holds 5% or more of the outstanding voting shares are considered “affiliated companies” of the Account, pursuant to the 1940 Act. Information regarding transactions with affiliated companies is as follows (dollar amounts are in thousands):

 

   Value at                   Shares at   Value at 
   December 31,   Purchase   Sales   Realized   Dividend   June 30,   June 30, 
Issue  2016   cost   proceeds   gain (loss)   income   2017   2017 
Stock Account                                   
Dick’s Sporting  Goods, Inc   $—*  $224,584   $10,395   $(3,356)  $1,057    5,007,065   $199,431 

 

* Not an affiliate investment as of December 31, 2016.

 

96 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

Note 5—investments

 

Securities lending: Certain Accounts may lend their securities to qualified institutional borrowers to earn additional income. An Account receives collateral (in the form of cash, Treasury securities or other collateral permitted by applicable law) against the loaned securities and maintains collateral in an amount not less than 100% of the market value of loaned securities during the period of the loan; any additional collateral required due to changes in security values is delivered to the Account the next business day. Cash collateral received by the Account will generally be invested in high-quality short-term instruments or in one or more funds maintained by the securities lending agent (“Agent”) for the purpose of investing cash collateral. The value of the loaned securities and the liability to return the cash collateral received are reflected in the Statements of Assets and Liabilities. As of June 30, 2017, securities lending transactions (with the exception of the Social Choice Account) are for equity securities, and the resulting loans are continuous, can be recalled at any time, and have no set maturity. For the Social Choice Account, all loans from securities lending transactions are continuous, can be recalled at any time, and have no set maturity, with $141,512,000 related to equity securities and $50,696,000 related to fixed income securities. Securities lending income recognized by the Accounts consists of earnings on invested collateral and lending fees, net of any rebates to the borrower and compensation to the Agent. Such income is reflected separately in the Statements of Operations. In lending its securities, an Account bears the market risk with respect to the investment of collateral and the risk that the Agent may default on its contractual obligations to the Account. The Agent bears the risk that the borrower may default on its obligation to return the loaned securities as the Agent is contractually obligated to indemnify the Account if at the time of a default by a borrower some or all of the loan securities have not been returned.

 

Repurchase agreements: Each Account may enter into repurchase agreements with banks or broker-dealers. Repurchase agreements involve the purchase of securities from an institution, subject to the seller’s agreement to repurchase and the Account’s agreement to resell such securities at a mutually agreed-upon price. Pursuant to the terms of the repurchase agreement, securities purchased subject to repurchase agreements must have an aggregate market value greater than or equal to the agreed-upon repurchase price plus accrued interest at all times. If the value of the underlying securities falls below the value of the repurchase price plus accrued interest, the Account will require the seller to deposit additional collateral by the next business day. If a request for additional collateral is not met, or if the seller defaults on its repurchase obligation, the Account maintains the right to sell the underlying securities at market value and pursue a claim for any remaining loss against the seller.

 

Securities purchased on a when-issued or delayed-delivery basis: The Accounts may purchase securities on a when-issued or delayed-delivery basis. Securities purchased or sold on a when-issued or delayed-delivery basis may be settled a month or more after trade date; interest income is not accrued until settlement date. At the time an Account enters into such transactions, it is required to have segregated assets with

 

College Retirement Equities Fund  ■  2017 Semiannual Report 97
 

Notes to financial statements (unaudited)

 

a current value at least equal to the amount of its when-issued or delayed-delivery purchase commitments.

 

Treasury Inflation-Protected Securities: The Accounts (other than the Money Market Account) may invest in Treasury Inflation-Protected Securities, specially structured bonds in which the principal amount is adjusted periodically to keep pace with inflation, as measured by the U.S. Consumer Price Index.

 

Mortgage dollar roll transactions: Some of the Accounts may enter into mortgage dollar rolls in which an Account sells mortgage securities for delivery in the current month, realizing a gain (loss), and simultaneously contracts to repurchase similar securities on a specified future date. During the roll period, an Account forgoes principal and interest paid on the securities. The Account is compensated by the interest earned on the cash proceeds of the initial sale and by the lower repurchase price at the future date. The difference between the sales proceeds and the lower repurchase price is recorded as a realized gain. The Account maintains a segregated account, the dollar value of which is at least equal to its obligations with respect to dollar rolls.

 

Restricted securities: Restricted securities held by the Accounts, if any, may not be sold except in exempt transactions or in a public offering registered under the Securities Act of 1933. The risk of investing in such securities is generally greater than the risk of investing in securities that are widely held and publicly traded.

 

Net unrealized appreciation (depreciation): At June 30, 2017, net unrealized appreciation (depreciation) based on the aggregate cost of portfolio investments for federal income tax purposes, consisting of gross unrealized appreciation and gross unrealized depreciation was as follows (dollar amounts are in thousands):

 

   Gross   Gross   Net unrealized 
   unrealized   unrealized   appreciation 
Account  appreciation   (depreciation)   (depreciation) 
Stock   $18,758,293    $(2,566,939)  $16,191,354 
Global Equities   3,028,246    (528,941)   2,499,305 
Growth   5,281,077    (214,446)   5,066,631 
Equity Index   9,704,668    (445,650)   9,259,018 
Bond Market   212,444    (132,024)   80,420 
Inflation-Linked Bond   262,780    (59,983)   202,797 
Social Choice   2,424,501    (264,971)   2,159,530 

 

98 2017 Semiannual Report  ■  College Retirement Equities Fund
 

concluded

 

Purchases and sales: Purchases and sales of securities (other than short-term instruments) for all of the Accounts for the period ended June 30, 2017 were as follows (dollar amounts are in thousands):

 

                       Inflation-     
       Global       Equity   Bond   Linked   Social 
   Stock   Equities   Growth   Index   Market   Bond   Choice 
   Account   Account   Account   Account   Account   Account   Account 
Purchases:                            
Non-U.S. Government  $29,626,505   $4,047,609   $5,698,834   $707,660   $2,551,723   $   $1,503,126 
U.S. Government                   9,724,206    810,472    3,501,903 
Total Purchases  $29,626,505   $4,047,609   $5,698,834   $707,660   $12,275,929   $810,472   $5,005,029 
Sales:                                   
Non-U.S. Government  $34,218,684   $4,885,758   $6,446,197   $1,168,475   $1,950,461   $   $1,698,692 
U.S. Government                   9,667,007    853,084    3,336,642 
Total Sales  $34,218,684   $4,885,758   $6,446,197   $1,168,475   $11,617,468   $853,084   $5,035,334 

 

Note 6—line of credit

 

Each of the Accounts, except the Money Market Account, participates in a $1.5 billion unsecured revolving credit facility that can be used for temporary purposes, including, without limitation, the funding of participant withdrawals. The current facility was entered into on June 20, 2017 expiring on June 19, 2018, replacing the previous facility, which expired June 2017. Certain affiliated accounts and mutual funds, each of which is managed by TCIM, or an affiliate of TCIM, also participate in this facility. An annual commitment fee for the credit facility is borne by the participating accounts and mutual funds on a pro rata basis. Interest associated with any borrowing under the facility is charged to the borrowing accounts or mutual funds at a specified rate of interest. The Accounts are not liable for borrowings under the facility by other affiliated accounts or mutual funds. For the period ended June 30, 2017, there were no borrowings under this credit facility by the Accounts.

 

Note 7—indemnification

 

In the normal course of business, each Account enters into contracts that contain a variety of representations and warranties and that provide general indemnities. An Account’s maximum exposure under these arrangements is unknown, as this would involve future claims against the Account that have not yet occurred. Also, under the Accounts’ organizational documents, the trustees and officers of the Accounts are indemnified against certain liabilities that may arise out of their duties to the Accounts. However, based on experience, the Accounts expect the risk of loss due to these warranties and indemnities to be unlikely.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 99
 

Approval of investment management agreement (unaudited)

 

Board renewal of the investment management agreement for the College Retirement Equities Account

 

The Board of Trustees (the “Board” or the “Trustees”) of the College Retirement Equities Account (“CREF”) determines whether to initially approve and periodically renew the investment management agreement (the “Agreement”) between TIAA-CREF Investment Management, LLC (“TCIM”) and CREF on behalf of each of its accounts (the “Accounts”). Under the Agreement, TCIM is responsible for providing investment advisory services and overseeing the everyday operations and other service providers of the Accounts. Below is a summary of the process the Board undertook related to its most recent renewal of the Agreement.

 

Most investment companies that are registered under the Investment Company Act of 1940 (the “1940 Act”) enter into investment management agreements that are subject to Section 15(c) of the 1940 Act. This provision provides, in part, that, after an initial period of up to two years, the investment management agreement will remain in effect only if a fund’s board, including a majority of those trustees who are independent trustees because they are not “interested persons” of the fund, as that term is defined in the 1940 Act, annually renews the agreement. CREF’s Agreement with TCIM is not subject to this requirement due to its unique “at-cost” structure under which TCIM provides services to CREF on an at-cost basis. Nevertheless, the Board determined that it would conduct an annual review of the Agreement, as described below, in a manner generally consistent with relevant 1940 Act requirements. None of the Trustees are interested persons of CREF. Rather, they are all deemed to be independent Trustees.

 

Overview of the renewal process

 

The Board held meetings on March 9, 2017 and March 23, 2017, at which it considered the annual renewal of the Agreement with respect to each Account using the process established by the Board. As part of this process, the Board delegated certain tasks to its Operations Committee. Among these tasks, the Operations Committee worked with TCIM, other Board members and legal counsel to the Trustees to develop guidance and specific requests relating to the types of information to be provided to the Board in connection with the proposed contract renewals. The Operations Committee also worked with TCIM to schedule and report on various follow-up items throughout the prior year that were requested by the Committee and the Board during the 2016 renewal process. During a series of meetings held prior to the March 9 and March 23, 2017 Board meetings, the Operations Committee reviewed such guidance and follow-up requests in consultation with TCIM representatives and input from other Trustees, legal counsel to the Trustees and legal counsel to TCIM and CREF, and then evaluated the information produced in accordance with the guidance and requests.

 

Among other matters, the Operations Committee, following its consultations with others as noted above, confirmed or established certain guidance regarding the

 

100 2017 Semiannual Report  ■  College Retirement Equities Fund
 

preparation of reports to be provided to the Board with respect to each Account by the Board Reporting and Compliance unit of Broadridge Financial Solutions, Inc. (“Broadridge”), using data from Lipper, Inc., which is an independent provider of investment company data. Broadridge is widely recognized as a leading provider of comparative analyses used by independent directors and trustees of investment companies during their advisory contract review processes.

 

Based on guidance provided by the Operations Committee on behalf of the Board, Broadridge produced, among other information, performance and expense comparison data regarding each Account, including data relating to each Account’s management fee rate, total expense ratio, short-term and long-term investment performance, portfolio turnover rate, and brokerage commission costs (as applicable). Broadridge compared this data, as relevant, for each Account against a universe of investment companies (except for brokerage commissions) and against a more selective peer group of mutual funds with similar investment objectives and strategies that underlie variable insurance products, each of which was selected by Broadridge independent of any input from TCIM, and, in the case of the investment performance data, against one or more appropriate broad-based indices. In each case, Broadridge summarized, and the Board reviewed, the methodologies it employed to provide the data contained in its reports. In addition, Broadridge represented to the Board that its reports were designed specifically to provide the Board with the fee, expense and performance information that is necessary to help the Board perform its review. Broadridge also represented that the purpose of its materials is to provide an unbiased view of each Account’s relative position regarding the level of fees, expenses and total return performance against a competitive peer group and universe (as applicable) identified by Broadridge (and not TCIM or the Board).

 

In advance of the Board meetings held on March 9 and March 23, 2017, legal counsel for the Trustees requested on behalf of the Board, and TCIM provided, information that was designed to assist the Board in its consideration of whether to renew the Agreement for each Account. In addition to the data provided by Broadridge as described above, this information included, but was not limited to, the following: (1) further information relating to each Account’s investment performance and a narrative analysis of the performance of each Account that had underperformed certain Board-specified criteria, together with an explanation of any events that had a material impact on the Account’s performance during that period; (2) a description of any expenses that were incurred by TCIM with respect to its services under the Agreement but not reimbursed by the Accounts during the prior year and the extent to which such arrangements would be continued or modified in the coming year; (3) a comparison of each Account’s estimated expense rate under the Agreement to the fee rates of other accounts with comparable strategies managed by TCIM or certain of its affiliates; (4) any “fall-out” benefits that accrued or were identified as reasonably likely to accrue to TCIM or its affiliates due to their relationship with the Accounts in addition to TCIM’s direct fee payments pursuant to the Agreement; (5) information regarding TCIM’s financial resources, senior professional personnel, overall staffing

 

College Retirement Equities Fund  ■  2017 Semiannual Report 101
 

Approval of investment management agreement (unaudited)

 

levels, portfolio manager compensation arrangements, insurance coverage, portfolio trading, soft dollar usage and best execution practices, and any actual and potential conflicts of interest identified by TCIM in connection with rendering services to the Accounts; (6) a copy of the Agreement and certain related agreements between the Accounts and affiliates of TCIM; (7) a copy of TCIM’s Form ADV as filed with the Securities and Exchange Commission (which was presented only to legal counsel for the Trustees); and (8) proposed narrative explanations of reasons why the Board should renew the Agreement. The Trustees were also provided with performance ratings of Morningstar, Inc. (“Morningstar”), which is a widely recognized mutual fund ranking service. The Trustees were given the opportunity to ask questions and request additional information, and they reviewed responses from TCIM to follow-up questions presented by the Board after its initial review of the information described above.

 

In considering whether to renew the Agreement with respect to each Account, the Board reviewed various factors with respect to the Account, including: (1) the nature, extent and quality of services provided or to be provided by TCIM to the Account; (2) the Account’s investment performance; (3) the costs of the services provided to the Account and CREF’s at-cost expense structure; (4) fees charged to comparable mutual funds by other advisers; (5) the extent to which economies of scale have been realized or are anticipated to be realized as the Account grows; (6) whether the estimated expenses set forth in the Agreement reflect any such economies of scale for the benefit of Account investors; (7) comparisons of services and estimated expense rates with any contracts entered into by TCIM with other clients to whom TCIM provides comparable services; and (8) any other benefits derived or anticipated to be derived by TCIM or its affiliates from their relationship with the Account. As a general matter, the Board viewed these factors, and any other factors deemed relevant by the Trustees, in their totality, and no single factor was identified as being the principal factor in determining whether to renew the Agreement.

 

In reaching its decisions regarding the renewal of the Agreement for each Account, the Board took into account the information described above and other information provided to the Board in connection with this process. Additionally, the Board took into account relevant information, including performance data, provided to the Board and its Committees throughout the year as part of the Board’s ongoing duties to oversee and evaluate TCIM’s services to the Accounts. In addition to general session meetings that included TCIM personnel, the Trustees met in private sessions at which no TCIM representatives were present, to discuss the proposed renewal of the Agreement for each Account. The Board received and considered information from its legal counsel as to certain relevant guidance that relate to the renewal process and certain other legal authorities.

 

The Board received and considered both CREF-level and Account-specific information, but made its renewal determinations on an Account-by-Account basis. In deciding whether to renew the Agreement for each Account, each Trustee may have accorded different weight to different factors and, thus, each Trustee may have had a different

 

102 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

basis for his or her ultimate decision to vote to renew the Agreement for each Account. At its meeting on March 23, 2017, the Board voted unanimously to renew the Agreement for each Account. Set forth below is a summary of the primary factors the Board considered with respect to each Account.

 

The nature, extent and quality of services

 

The Board considered the level and depth of knowledge of TCIM, including the professional experience and qualifications of its personnel. The Board also considered that TCIM is an experienced investment adviser that has managed the Accounts since their operations commenced. Investment professionals at TCIM also manage the TIAA-CREF Funds, the TIAA-CREF Life Funds and TIAA Separate Account VA-1, as well as sub-advise other investment companies and vehicles. Under the Agreement, TCIM is responsible for, among other duties: managing the assets of the Accounts, including conducting research, recommending investments and placing orders to buy and sell securities for the Accounts’ investment portfolios; active daily monitoring of the investment portfolios by various personnel with specific responsibility for the particular types of investments in question; reporting on the investment performance of the Accounts to the Board on a regular basis; coordinating the activities of each Account’s service providers; and overseeing the provision of various administrative services to the Accounts. The Board considered that TCIM has carried out these responsibilities in a competent and professional manner. The Board also considered that TCIM has committed significant resources to supporting the CREF Accounts. It also considered TCIM’s compliance program and resources and its compliance record with respect to the Accounts.

 

The Board also considered, among other factors, the performance of each of the Accounts, as discussed below. In addition, the Board considered the nature and quality of non-portfolio management services provided by TCIM and its affiliates. In this regard, the Board considered its ongoing review of the performance of certain affiliated and unaffiliated service providers, including the quality of services provided by those firms and TCIM’s oversight of those service providers and the outsourcing of certain services to other firms.

 

During its review, the Board noted its ongoing efforts to examine the level of personnel and other resources available to TCIM for its portfolio management and other functions, including the impact of recent and anticipated operational changes on such resources, so as to assess whether sufficient resources are being devoted to these functions.

 

Investment performance

 

The Board considered the investment performance of each Account, over the periods indicated in the Account-by-Account synopsis below. The Board considered each Account’s performance as compared to its peer group and peer universe of mutual funds that underlie variable insurance products (as applicable) and its benchmark

 

College Retirement Equities Fund  ■  2017 Semiannual Report 103
 

Approval of investment management agreement (unaudited)

 

index. The Board also reviewed the three-year performance of each Account before any reductions for fees or expenses. In this analysis, the Board considered the impact of net asset value rounding and the effects of fair valuation, foreign exchange rates, effective tax rates, securities lending and class action litigation on each Account’s performance as compared to the performance of its benchmark index. For details regarding each Account’s performance, see the Account-by-Account synopsis below. The Board considered that, in those cases in which an Account had materially underperformed its peer group or peer universe of mutual funds that underlie variable insurance products for a specified period, or, in the case of an index Account that had deviated from its benchmark by a specified amount, the Board had a dialogue with investment personnel of TCIM, including the pertinent chief investment officer, to consider the factors that contributed to 2016 and longer-term performance. Management also considered whether a closer examination of performance or remedial measures was warranted. Thus, the Board concluded that, under the totality of circumstances considered, the investment performance of each Account was reasonable or that appropriate actions had been or were being implemented.

 

Cost and expenses

 

The Board considered the amounts charged by TCIM to each Account in 2016 and the estimated amounts to be charged by TCIM to each Account in 2017 (for the period May 1, 2017–April 30, 2018). This included investment advisory costs paid to TCIM, expressed in dollar terms and as a percentage of assets, as well as a reconciliation and analysis of those expenses. The Board considered that TCIM charges expenses “at cost” and these charges are adjusted at least quarterly to reflect the actual expenses incurred with respect to each Account during the most recent quarter. The Board considered the rationale for TCIM’s anticipated costs in providing services to CREF and considered whether these anticipated costs are reasonable in relation to the nature and quality of services provided by TCIM. The Board noted that, because TCIM provides its services on an at-cost basis under the arrangement outlined in the Agreement, there was no profit or loss data for the Board to consider.

 

Fees charged by other advisers

 

The Board considered information regarding fees paid to other advisers for managing similar mutual funds, as analyzed by Broadridge. The Board determined that the effective management fee rate charged to an Account under the Agreement typically was lower than the management fee rates charged to many or most other comparable mutual funds that underlie variable insurance products. In this connection, the Board also considered the inherent limitations of such comparisons in light of uncertainty as to how the fees of such similar mutual funds are set and potentially material differences between an Account and its comparable mutual funds that underlie variable insurance products. For example, most similar mutual funds are offered only through other investment vehicles that also carry additional fees and expenses, whereas the Accounts bear certain of these expenses themselves.

 

104 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

Another limitation noted by the Board was Broadridge’s treatment of all fund fee waivers, regardless of their type, as management fee waivers, which could materially impact how the Accounts’ effective management fee rates compare to those of peer mutual funds that underlie variable insurance products. Additionally, the Board considered the potential limitations of such comparisons due to, among other factors, the fact that, in many instances, Broadridge based its comparisons on financial data relating to fiscal periods that differed from the period for which the Account’s data were derived. Based on all factors considered, the Board concluded that the effective management fee rates under the Agreement with respect to each Account were reasonable in relation to those charged by appropriate groups of comparable mutual funds that underlie variable insurance products.

 

Economies of scale

 

The Board considered that certain economies of scale are already integrated into each Account’s cost structure due to the at-cost expense arrangements pursuant to which TCIM renders investment advisory services to CREF. The Board also considered that, in certain circumstances, an increase in CREF assets can result in additional expenses being allocated to CREF pursuant to the cost allocation methodologies that are used to calculate payments to be made by CREF pursuant to the at-cost expense arrangements.

 

Fee comparison with other TCIM clients

 

The Board considered that TCIM and its affiliate, Teachers Advisors, LLC (“Advisors”), provide investment management services to other investment companies, foreign funds (“UCITS”) and separately managed accounts that may have similar investment strategies as certain of the Accounts. The Board also considered TCIM’s comments that, in the future, Advisors may manage client assets through additional funds and accounts with similar investment strategies. Additionally, the Board considered Advisors’ disclosed fee rate schedules for separately managed account mandates with investment strategies similar to the Accounts’ strategies. The Board also considered TCIM’s representation that, while management fee rates charged to the Accounts may differ from the management fee rates chargeable to these other funds and other accounts, this is due in part to the fact that these other funds and accounts: (1) may be offered through products that charge additional fees to their investors; (2) may be offered in different types of markets; (3) may be provided with different types or levels of services by Advisors; (4) may have different regulatory burdens; (5) may target different investors; and/or (6) may be packaged with other products, and that these factors, among others, could reasonably explain different management fee rate schedules.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 105
 

Approval of investment management agreement (unaudited)

 

Other benefits

 

The Board also considered additional benefits to TCIM and its affiliates arising from the Agreement. For example, Advisors and its affiliates may benefit from the advisory relationship with the Funds to the extent that this relationship results in potential investors viewing TIAA, of which Advisors is an indirect, wholly-owned subsidiary, as a leading retirement plan provider in the academic and nonprofit markets and as a single source for all their financial service needs. Both TCIM and certain funds managed by TCIM or its affiliates may benefit from economies of scale to the extent they share resources and/or personnel. TCIM may also benefit from the ability to acquire investment research related to commission arrangements made on behalf of the Accounts (i.e., soft dollars).

 

Account-by-account factors

 

The Board considered the following specific factors (among others) in connection with its determination to renew the Agreement with respect to each Account. If an Account is described in the following discussions as being in the “1st” quintile, it is in the best of five groups (that is, the group has the best performance or the lowest expenses, as the case may be). References below to quintiles are based on data provided to the Board in the reports prepared by Broadridge. The specific expense and performance factors outlined below are based on Class R3 units of each Account. Because Class R3 generally has lower non-management expenses than the other classes of these Accounts, the expenses and performance of these other classes will differ from the expenses and performance shown for Class R3. Except as otherwise noted, all time periods referenced below are ended December 31, 2016. Under the Morningstar rating system, 5 stars is the highest (best) rating category and 1 star is the lowest (worst) rating category. The Morningstar data is as of December 31, 2016.

 

CREF Stock Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.115% of average daily net assets for the year ending April 30, 2018. The Account’s actual management costs for the year ended December 31, 2016 equaled 0.137% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of the group of comparable funds selected by Broadridge for expense comparison purposes (“Expense Group”) and each in the 1st quintile of the universe of comparable funds selected by Broadridge for expense comparison purposes (“Expense Universe”).
The Account did not have a group of comparable funds selected by Broadridge for performance comparison purposes (“Performance Group”). The Account was in the 1st quintile of the universe of comparable funds selected by Broadridge for

 

106 2017 Semiannual Report  ■  College Retirement Equities Fund
 

continued

 

  performance comparison purposes (“Performance Universe”) for the one-, three-, five- and ten-year periods.
The Account received an Overall Morningstar Rating of 2 stars.

 

CREF Global Equities Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.125% of average daily net assets for the year ending April 30, 2018. The Account’s actual management costs for the year ended December 31, 2016 equaled 0.146% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account did not have a Performance Group. The Account was in the 4th, 3rd, 2nd and 3rd quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
The Account received an Overall Morningstar Rating of 3 stars.

 

CREF Growth Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.060% of average daily net assets for the year ending April 30, 2018. The Account’s actual management costs for the year ended December 31, 2016 equaled 0.063% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account was in the 2nd, 2nd, 3rd and 2nd quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 2nd, 1st, 2nd and 2nd quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
The Account received an Overall Morningstar Rating of 4 stars.

 

CREF Equity Index Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.020% of average daily net assets for the year ending April 30, 2018. The Account’s actual management costs for the year ended December 31, 2016 equaled 0.022% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account did not have a Performance Group. The Account was in the 2nd, 1st, 2nd and 3rd quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively. The Account’s Performance Universe includes actively-managed funds, while the Account utilizes a passive investment strategy.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 107
 

 

Approval of investment management agreement (unaudited)

 

For the three-year period, the Account’s relative gross performance (meaning the Account’s performance without any reductions for fees or expenses, including the effect of NAV rounding and excluding the effects of fair valuation, foreign exchange, effective tax rates, securities lending and class action recoveries) as compared to its benchmark, the Russell 3000® Index, was +2 basis points. One basis point is equal to 0.01%.
The Account received an Overall Morningstar Rating of 3 stars.

 

CREF Bond Market Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.085% of average daily net assets for the year ending April 30, 2018. The Account’s actual management costs for the year ended December 31, 2016 equaled 0.097% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment costs and total costs are each in the 1st quintile of its Expense Group and Expense Universe.
The Account was in the 4th, 3rd, 4th and 4th quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 2nd, 2nd, 3rd and 4th quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
The Account received an Overall Morningstar Rating of 3 stars.

 

CREF Inflation-Linked Bond Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.035% of average daily net assets for the year ending April 30, 2018. The Account’s actual management costs for the year ended December 31, 2016 equaled 0.035% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account was in the 4th, 2nd 4th and 3rd quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 3rd, 2nd, 4th and 4th quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
The Account received an Overall Morningstar Rating of 3 stars.

 

CREF Social Choice Account

 

The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.060% of average daily net assets for the year ending April 30, 2018. The Account’s actual management costs for the year ended December 31, 2016 equaled 0.070% of average daily net assets, which was used by Broadridge for comparative purposes.

 

108 2017 Semiannual Report  ■  College Retirement Equities Fund
 

concluded

 

The Account’s actual investment management costs and total costs are each in the 1st quintile of both its Expense Group and Expense Universe.
The Account was in the 4th, 4th, 5th and 4th quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 2nd, 2nd, 2nd and 3rd quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
The Account received an Overall Morningstar Rating of 3 stars.

 

CREF Money Market Account

   
The Account is operated as an at-cost arrangement, with no profits to TCIM. The Account’s pro forma investment management costs are expected to be 0.025% of average daily net assets for the year ending April 30, 2018. The Account’s actual management costs for the year ended December 31, 2016 equaled 0.030% of average daily net assets, which was used by Broadridge for comparative purposes.
The Account’s actual management costs and total costs are each in the 1st quintile of both its Expense Group and its Expense Universe.
Over a multi-year period, CREF’s administrator, Teachers Insurance and Annuity Association of America (“TIAA”), withheld certain administrative and distribution expenses attributable to the Account in order to avoid a negative yield. Under certain circumstances, a portion of these withheld amounts contractually may be recouped by TIAA when the yield of each Class of the Account becomes positive, which led to recoupments from Class R2 and Class R3 during the year ended December 31, 2016.
The Account was in the 1st, 1st, 2nd and 3rd quintiles of its Performance Group for the one-, three-, five- and ten-year periods, respectively. The Account was in the 1st, 1st, 1st and 3rd quintiles of its Performance Universe for the one-, three-, five- and ten-year periods, respectively.
Money market funds are not rated by Morningstar.

 

 

 

Based primarily on the foregoing factors and considerations, the Board renewed the Agreement for each Account.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 109
 

Additional information about index providers (unaudited)

 

Russell Indexes

 

The Russell 1000® Index, the Russell 1000 Growth Index and the Russell 3000® Index are trademarks/service marks of the Russell Investment Group. The Russell Investment Group is the owner of the copyrights relating to the Russell Indexes and is the source and owner of the data contained or reflected in the performance values relating to the Russell Indexes. The accounts are not promoted by, nor in any way affiliated with, the Russell Investment Group. The Russell Investment Group is not responsible for and has not reviewed the accounts nor any associated literature or publications and the Russell Investment Group makes no representation or warranty, express or implied, as to their accuracy, or completeness.

 

Russell reserves the right, at any time and without notice, to alter, amend, terminate or in any way change the Russell Indexes. Russell has no obligation to take the needs of any particular account or its participants or any other product or person into consideration in determining, composing or calculating any of the Russell Indexes.

 

Russell’s publication of the Russell Indexes in no way suggests or implies an opinion by Russell as to the attractiveness or appropriateness of investment in any or all securities upon which the Russell Indexes are based. russell makes no representation, warranty or guarantee regarding the use or the results of use of the russell indexes or any data included therein, or any securities (or combination thereof) comprising the russell indexes. russell makes no other express or implied warranty, and expressly disclaims any warranty, of any kind, including without limitation, any warranty of merchantability or fitness for a particular purpose with respect to the russell index(es) or any data or any security (or combination thereof) included therein.

 

MSCI Indexes

 

The accounts are not sponsored, endorsed, sold or promoted by MSCI Inc. (“MSCI”), any of its affiliates, any of its information providers or any other third party involved in, or related to, compiling, computing or creating any MSCI index (collectively, the “MSCI Parties”). The MSCI indexes are the exclusive property of MSCI. MSCI and the MSCI index names are service marks of MSCI or its affiliates and have been licensed for use for certain purposes by Teachers Advisors, Inc. None of the MSCI parties makes any representation or warranty, express or implied, to the issuer or owners of these accounts or any other person or entity regarding the advisability of investing in accounts generally or in these accounts particularly or the ability of any MSCI index to track corresponding stock market performance. MSCI or its affiliates are the licensors of certain trademarks, service marks and trade names and of the MSCI indexes which are determined, composed and calculated by MSCI without regard to these accounts or the issuer or owners of these accounts or any other person or entity. None of the MSCI parties has any obligation to take the needs of the issuer or owners of these accounts or any other person or entity into consideration in determining, composing or calculating the MSCI indexes. None of

 

110 2017 Semiannual Report  ■  College Retirement Equities Fund
 

the MSCI parties is responsible for or has participated in the determination of the timing of, prices at, or quantities of these accounts to be issued or in the determination or calculation of the equation by or the consideration into which these accounts is redeemable. Further, none of the MSCI parties has any obligation or liability to the issuer or owners of these accounts or any other person or entity in connection with the administration, marketing or offering of these accounts.

 

although msci shall obtain information for inclusion in or for use in the calculation of the msci indexes from sources that msci considers reliable, none of the msci parties warrants or guarantees the originality, accuracy and/or the completeness of any msci index or any data included therein. none of the msci parties makes any warranty, express or implied, as to results to be obtained by the issuer of these accounts, owners of these accounts, or any other person or entity, from the use of any msci index or any data included therein. none of the msci parties shall have any liability for any errors, omissions or interruptions of or in connection with any msci index or any data included therein. further, none of the msci parties makes any express or implied warranties of any kind, and the msci parties hereby expressly disclaim all warranties of merchantability and fitness for a particular purpose, with respect to each msci index and any data included therein. without limiting any of the foregoing, in no event shall any of the msci parties have any liability for any direct, indirect, special, punitive, consequential or any other damages (including lost profits) even if notified of the possibility of such damages.

 

No purchaser, seller or holder of these securities, products or accounts, or any other person or entity, should use or refer to any MSCI trade name, trademark or service mark to sponsor, endorse, market or promote these securities without first contacting MSCI to determine whether MSCI’s permission is required. Under no circumstances may any person or entity claim any affiliation with MSCI without the prior written permission of MSCI.

 

College Retirement Equities Fund  ■  2017 Semiannual Report 111
 

 

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How to reach us

 

TIAA website

 

Account performance, personal account information and transactions, product descriptions, and information about investment choices and income options

 

TIAA.org

24 hours a day, 7 days a week

 

Automated telephone service

 

Check account performance and accumulation balances, change allocations, transfer funds and verify credited premiums

 

800-842-2252

24 hours a day, 7 days a week

 

National contact center

 

Retirement saving and planning, income options and payments, beneficiary services and tax reporting

 

800-842-2252

8 a.m. to 10 p.m. (ET), Monday–Friday

9 a.m. to 6 p.m. (ET), Saturday

 

For the hearing- or speech-impaired

 

800-842-2755

8 a.m. to 10 p.m. (ET), Monday–Friday

9 a.m. to 6 p.m. (ET), Saturday

 

TIAA Brokerage Services

 

Self-directed brokerage accounts for investing in stocks, bonds and mutual funds

 

800-927-3059

8 a.m. to 7 p.m. (ET), Monday–Friday

 

Advisor services

 

888-842-0318

8 a.m. to 7:30 p.m. (ET), Monday–Friday


 

 

 

You should carefully consider the investment objectives, risks, charges and expenses of any account before investing. For a prospectus that contains this and other important information, please visit TIAA.org, or call 877-518-9161. Please read the prospectus carefully before investing. Investment, insurance and annuity products are not FDIC insured, are not bank guaranteed, are not bank deposits, are not insured by any federal government agency, are not a condition to any banking service or activity, and may lose value. Nuveen, a subsidiary of TIAA, provides investment advice and portfolio management services through a dozen affiliated registered investment advisers. TIAA Brokerage Services is a division of TIAA-CREF Individual & Institutional Services, LLC. TIAA-CREF Individual & Institutional Services, LLC, Teachers Personal Investors Services, Inc., and Nuveen Securities, LLC, members FINRA and SIPC, distribute securities products. Insurance and annuity products are issued by TIAA-CREF Life Insurance Company, New York, NY.

 

This material is not intended to be a recommendation or investment advice, does not constitute a solicitation to buy or sell securities, and is not provided in a fiduciary capacity. The information provided does not take into account the specific objectives or circumstances of any particular investor, or suggest any specific course of action. Investment decisions should be made based on an investor’s objectives and circumstances and in consultation with his or her advisors.

 

 

 

©2017 Teachers Insurance and Annuity Association of America—College Retirement Equities Fund,
730 Third Avenue, New York, NY 10017-3206

 
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189920 A10939 (8/17)
 
 
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189920 A10939 (8/17)
 
 
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189920 A10939 (8/17)
 

Item 2. Code of Ethics.

 

Not applicable.

 

Item 3. Audit Committee Financial Expert.

 

Not applicable.

 

Item 4. Principal Accountant Fees and Services.

 

Not applicable.

 

Item 5. Audit Committee of Listed Registrants.

 

Not Applicable.

 

Item 6. Schedule of Investments.

 

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

COLLEGE RETIREMENT EQUITIES FUND

STOCK ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2017

 

PRINCIPAL         ISSUER   RATE   MATURITY
DATE
  VALUE
(000)
 
BONDS - 0.0%                    
                                 
CORPORATE BONDS - 0.0%                    
                                 
DIVERSIFIED FINANCIALS - 0.0%                    
$ 466,000     m   Asia Pacific Investment Partners     15.000 %   04/23/17   $ 327  
            TOTAL DIVERSIFIED FINANCIALS                  327  
                                 
            TOTAL CORPORATE BONDS                  327  
            (Cost $466)                    
                                 
GOVERNMENT BONDS -  0.0%                    
                                 
U.S. TREASURY SECURITIES - 0.0%                    
   300,000         United States Treasury Note     1.750     05/15/22      298  
            TOTAL U.S. TREASURY SECURITIES                  298  
                                 
            TOTAL GOVERNMENT BONDS                  298  
            (Cost $302)                    
                                 
            TOTAL BONDS                  625  
            (Cost $768)                    
                                 
SHARES         COMPANY                    
COMMON STOCKS - 99.3%                    
                                 
AUTOMOBILES & COMPONENTS - 1.8%                    
  162,085         Actron Technology Corp                  608  
  204,597         Adient plc                  13,377  
  120,600         Aisan Industry Co Ltd                  956  
  935,548         Aisin Seiki Co Ltd                  48,093  
  57,700     e   Akebono Brake Industry Co Ltd                  181  
  268,465     *   American Axle & Manufacturing Holdings, Inc                4,188  
  730,899         Apollo Tyres Ltd                  2,720  
  45,431         ARB Corp Ltd                  549  
  20,351         Asahi India Glass Ltd                  77  
  3,582     *,e   Autoliv, Inc                  393  
  8,757         Autoneum Holding AG.                  2,402  
  125,296         Bajaj Holdings and Investment Ltd                  5,410  
  29,631         Balkrishna Industries Ltd                  762  
  227,996         Bayerische Motoren Werke AG.                  21,205  
  7,038         Bayerische Motoren Werke AG. (Preference)                  581  
  111,412         Bharat Forge Ltd                  1,880  
  716,563         BorgWarner, Inc                  30,354  
  11,389         Bosch Ltd                  4,109  
  367,929         Brembo S.p.A                  5,391  
1

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 798,489      Bridgestone Corp  $34,520 
 3,198,135      Brilliance China Automotive Holdings Ltd   5,825 
 450,763   e  Byd Co Ltd   2,766 
 22,000      Cayman Engley Industrial Co Ltd   115 
 74,144      Ceat Ltd   2,057 
 453,000      Chaowei Power Holdings Ltd   267 
 1,951,251      Cheng Shin Rubber Industry Co Ltd   4,150 
 2,204,000   *  China First Capital Group Ltd   826 
 1,181,000      China Motor Corp   1,108 
 4,025,657      Chongqing Changan Automobile Co Ltd   5,311 
 49,207      Cie Automotive S.A.   1,131 
 180,643      Compagnie Plastic-Omnium S.A.   6,591 
 93,249      Continental AG.   20,173 
 105,122   e  Cooper Tire & Rubber Co   3,795 
 143,220   *  Cooper-Standard Holding, Inc   14,447 
 26,865      Cub Elecparts, Inc   350 
 30,400      Daido Metal Co Ltd   276 
 94,700      Daikyonishikawa Corp   1,268 
 797,924      Daimler AG. (Registered)   57,872 
 307,052      Dana Holding Corp   6,856 
 1,431,992      Delphi Automotive plc   125,514 
 424,301      Denso Corp   18,007 
 53,000      Depo Auto Parts Ind Co Ltd   148 
 197,862      Dometic Group AB   1,719 
 12,508      Dong Ah Tire & Rubber Co Ltd   297 
 12,007,787      Dongfeng Motor Group Co Ltd   14,190 
 54,240   *  Dorman Products, Inc   4,489 
 641,300      Drb-Hicom BHD   266 
 173,000      Eagle Industry Co Ltd   2,937 
 19,027   e  EDAG Engineering Group AG.   365 
 20,087   e  ElringKlinger AG.   385 
 27,136   *  Endurance Technologies Ltd   367 
 105,482      Exedy Corp   2,982 
 371,406      Exide Industries Ltd   1,265 
 588,766   e  Faurecia   29,857 
 25,500      FCC Co Ltd   516 
 79,753      Ferrari NV   6,863 
 599,559   *  Fiat DaimlerChrysler Automobiles NV   6,334 
 8,768,345      Ford Motor Co   98,118 
 58,055      Ford Otomotiv Sanayi AS   709 
 68,992   *  Fox Factory Holding Corp   2,456 
 298,436      Fuji Heavy Industries Ltd   10,119 
 163,897      Futaba Industrial Co Ltd   1,487 
 572,800   g  Fuyao Glass Industry Group Co Ltd   2,193 
 12,516,202      Geely Automobile Holdings Ltd   26,976 
 26,439,191   *,m  General Motors Co    0 
 3,581,452      General Motors Co   125,100 
 4,230,271   *,m  General Motors Co    0 
 85,268,000   *,e,m  General Motors Co    0 
 18,507,434   *,m  General Motors Co    0 
 722,689   *,e,m  General Motors Co    0 
 7,950,000   *,m  General Motors Co    0 
 40,684,487   *,m  General Motors Co    0 
 6,062,000   *,m  General Motors Co    0 
 35,983,677   *,m  General Motors Co    0 
2

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 24,057,000   *,m  General Motors Co  $ 0 
 1,397,829      Gentex Corp   26,517 
 72,093   *  Gentherm, Inc   2,797 
 1,955,413      GKN plc   8,306 
 29,046      Global & Yuasa Battery Co Ltd   1,009 
 25,000      Global PMX Co Ltd   120 
 72,306      Goodyear Lastikleri Turk AS.   92 
 1,158,735      Goodyear Tire & Rubber Co   40,509 
 39,105      Grammer AG.   2,050 
 3,349,689   e  Great Wall Motor Co Ltd   4,134 
 30,300      G-Tekt Corp   566 
 2,344,861      Guangzhou Automobile Group Co Ltd   4,113 
 6,975      Halla Holdings Corp   392 
 74,596      Hanil E-Hwa Co Ltd   978 
 75,398      Hankook Tire Co Ltd   4,191 
 188,692      Hanon Systems   1,699 
 556,313   e  Harley-Davidson, Inc   30,052 
 97,577      Hero Honda Motors Ltd   5,583 
 23,000      Hiroca Holdings Ltd   81 
 1,580,736      Honda Motor Co Ltd   43,309 
 50,168   *  Horizon Global Corp   720 
 153,990   *  Hota Industrial Manufacturing Co Ltd   760 
 69,199      Hu Lane Associate, Inc   402 
 65,900   *  Hunan Tyen Machinery Co Ltd   35 
 14,260,000   *,e,m  Hybrid Kinetic Group Ltd   178 
 70,361      Hyundai Mobis   15,382 
 220,301      Hyundai Motor Co   30,715 
 129,728      Hyundai Motor Co Ltd (2nd Preference)   13,209 
 59,555      Hyundai Motor Co Ltd (Preference)   5,883 
 16,772   e  Hyundai Wia Corp   1,023 
 24,000      Iron Force Industrial Co Ltd   117 
 422,995      Isuzu Motors Ltd   5,252 
 432,634      JK Tyre & Industries Ltd   1,075 
 134,500      Kasai Kogyo Co Ltd   1,741 
 801,896      Kayaba Industry Co Ltd   4,118 
 172,700      Keihin Corp   2,366 
 963,399      Kenda Rubber Industrial Co Ltd   1,530 
 270,011      Kia Motors Corp   9,017 
 39,436      Koito Manufacturing Co Ltd   2,039 
 295,157   *  Kongsberg Automotive ASA   262 
 82,825      Kordsa Teknik Tekstil AS.   197 
 59,237      Korea Autoglass Corp   984 
 74,634   *  Kumho Tire Co, Inc   490 
 134,000   *  Launch Tech Co Ltd   168 
 47,793      LCI Industries, Inc   4,894 
 449,484      Lear Corp   63,863 
 24,495      Leoni AG.   1,263 
 38,014      Linamar Corp   1,874 
 26,000      Macauto Industrial Co Ltd   154 
 535,692   *  Magna International, Inc   24,814 
 536,155      Mahindra & Mahindra Ltd   11,186 
 73,126   *  Mahindra CIE Automotive Ltd   275 
 32,100      Mahle-Metal Leve S.A. Industria e Comercio   188 
 26,645      Mando Corp   6,001 
 68,681      Martinrea International, Inc   561 
 186,545      Maruti Suzuki India Ltd   20,814 
3

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 739,799      Mazda Motor Corp  $10,393 
 318,962      Metair Investments Ltd   463 
 42,658      MGI Coutier   1,706 
 441,963      Michelin (C.G.D.E.) (Class B)   58,823 
 1,028,000      Minth Group Ltd   4,355 
 21,800      Mitsuba Corp   404 
 669,017   e  Mitsubishi Motors Corp   4,424 
 97,834   *  Modine Manufacturing Co   1,619 
 925,231      Motherson Sumi Systems Ltd   6,605 
 35,964   *  Motorcar Parts of America, Inc   1,016 
 17,900      Musashi Seimitsu Industry Co Ltd   519 
 373,949      Nan Kang Rubber Tire Co Ltd   352 
 124,707      Nexen Tire Corp   1,455 
 2,469,000      Nexteer Automotive Group Ltd   3,868 
 385,744      NGK Spark Plug Co Ltd   8,263 
 441,500      NHK Spring Co Ltd   4,661 
 132,351      Nifco, Inc   7,119 
 154,000      Nippon Seiki Co Ltd   3,105 
 5,283,892      Nissan Motor Co Ltd   52,759 
 163,841      Nissan Shatai Co Ltd   1,636 
 26,400      Nissin Kogyo Co Ltd   421 
 64,939      NOK Corp   1,379 
 47,355      Nokian Renkaat Oyj   1,960 
 361,200      Pacific Industrial Co Ltd   4,704 
 2,746,695      Peugeot S.A.   54,741 
 117,950   e  Piaggio & C S.p.A.   291 
 67,800      Piolax Inc   1,893 
 57,365      Porsche AG.   3,228 
 95,300      Press Kogyo Co Ltd   444 
 47,722,207      PT Astra International Tbk   31,974 
 154,576      Pyeong Hwa Automotive Co Ltd   1,973 
 7,784,000      Qingling Motors Co Ltd   2,494 
 298,700      Rassini SAB de C.V.   1,482 
 1,042,385   e  Renault S.A.   94,310 
 19,600   e  Riken Corp   886 
 41,792      S&T Daewoo Co Ltd   1,845 
 129,339      SAF-Holland S.A.   2,219 
 126,000      Sanden Corp   365 
 415,920      Sanyang Industry Co Ltd   299 
 1,250,315      Schaeffler AG.   17,938 
 29,574   *  Shiloh Industries, Inc   347 
 61,700      Showa Corp   599 
 66,468      SL Corp   1,255 
 87,037   *,e  Sogefi S.p.A.   465 
 174,190      Spartan Motors, Inc   1,542 
 606,900      Sri Trang Agro-Industry PCL (Foreign)   266 
 32,075   *  Ssangyong Motor Co   192 
 136,518      Standard Motor Products, Inc   7,129 
 149,387      Stanley Electric Co Ltd   4,527 
 80,785   *  Stoneridge, Inc   1,245 
 1,032,525      Sumitomo Electric Industries Ltd   15,974 
 96,873   e  Sumitomo Rubber Industries, Inc   1,641 
 32,410      Sundram Fasteners Ltd   215 
 26,548      Sungwoo Hitech Co Ltd   179 
 149,001      Superior Industries International, Inc   3,062 
 384,803      Suzuki Motor Corp   18,331 
4

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,143,653      T RAD Co Ltd  $6,789 
 19,800      Tachi-S Co Ltd   363 
 61,600      Taiho Kogyo Co Ltd   780 
 21,700   *,e  Takata Corp   7 
 1,924,159      Tata Motors Ltd   12,852 
 18,900      Teikoku Piston Ring Co Ltd   612 
 152,572   e  Tenneco, Inc   8,823 
 301,907   *  Tesla, Inc   109,173 
 232,931      Thor Industries, Inc   24,346 
 5,048,000      Tianneng Power International Ltd   4,142 
 107,214      Tofas Turk Otomobil Fabrik   881 
 37,563      Tokai Rika Co Ltd   695 
 92,200      Tokai Rubber Industries, Inc   952 
 910,699      Tong Yang Industry Co Ltd   1,691 
 99,900      Topre Corp   2,711 
 39,223      Tower International, Inc   881 
 67,900   e  Toyo Tire & Rubber Co Ltd   1,391 
 51,615      Toyoda Gosei Co Ltd   1,237 
 300,000      Toyota Boshoku Corp   5,651 
 192,841      Toyota Industries Corp   10,199 
 4,793,398      Toyota Motor Corp   251,958 
 84,400      TS Tech Co Ltd   2,467 
 110,925      Tube Investments Of India   1,145 
 46,089      Tung Thih Electronic Co Ltd   286 
 204,200      Tupy S.A.   980 
 123,679      TVS Motor Co Ltd   1,050 
 727,000      TYC Brother Industrial Co Ltd   769 
 1,129,341      UMW Holdings BHD   1,570 
 113,200      Unipres Corp   2,528 
 394,838      Valeo S.A.   26,564 
 224,255   *  Visteon Corp   22,887 
 48,286      Volkswagen AG.   7,500 
 29,846      Volkswagen AG. (Preference)   4,559 
 39,628   *  VOXX International Corp (Class A)   325 
 7,552      WABCO India Ltd   645 
 63,095      Winnebago Industries, Inc   2,208 
 3,956,000      Xingda International Holdings Ltd   1,601 
 10,444,785      Xinyi Glass Holdings Co Ltd   10,339 
 2,536,000      Yadea Group Holdings Ltd   614 
 145,272      Yamaha Motor Co Ltd   3,770 
 63,800      Yokohama Rubber Co Ltd   1,286 
 207,000      Yorozu Corp   3,221 
 701,187      Yulon Motor Co Ltd   629 
 80,000      Zhejiang Shibao Co Ltd   78 
        TOTAL AUTOMOBILES & COMPONENTS   2,205,162 
                
BANKS - 9.0%        
 31,997      1st Source Corp   1,534 
 930,036      77 Bank Ltd   4,591 
 78,059      Aareal Bank AG.   3,099 
 1,838,181   g  ABN AMRO Group NV (ADR)   48,697 
 3,839,485      Abu Dhabi Commercial Bank PJSC   7,300 
 29,727      Access National Corp   788 
 13,102      ACNB Corp   400 
 56,475,649      Agricultural Bank of China   26,691 
 15,800      Aichi Bank Ltd   892 
5

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 5,059,316      Akbank TAS  $14,092 
 102,000      Akita Bank Ltd   302 
 1,328,382      Albaraka Turk Katilim Bankasi AS   483 
 801,015   *  Aldermore Group plc   2,268 
 90,655   *  Alior Bank S.A.   1,510 
 119,504   *  Allahabad Bank   125 
 26,780   *  Allegiance Bancshares, Inc   1,026 
 980,356      Alliance Financial Group BHD   879 
 10,421,940      Allied Irish Banks plc   58,922 
 1,460,330   *  Alpha Bank AE   3,599 
 315,270   *,m  Amagerbanken AS    0 
 16,136      American National Bankshares, Inc   596 
 80,723      Ameris Bancorp   3,891 
 17,001   e  Ames National Corp   520 
 468,565   *  Amlak Finance PJSC   121 
 3,287,538      AMMB Holdings BHD   3,738 
 373,488      Andhra Bank   315 
 123,000      Aomori Bank Ltd   437 
 6,657,660      Aozora Bank Ltd   25,418 
 26,138      Arrow Financial Corp   827 
 5,516   *,e  ASB Bancorp, Inc   242 
 1,508,900      Ashikaga Holdings Co Ltd   5,634 
 175,645      Associated Banc-Corp   4,426 
 184,580      Astoria Financial Corp   3,719 
 41,104   *  Atlantic Capital Bancshares, Inc   781 
 1,922,942      Australia & New Zealand Banking Group Ltd   42,443 
 121,721      Awa Bank Ltd   830 
 2,055,953      Axis Bank Ltd   16,441 
 118,285   e  Banc of California, Inc   2,543 
 4,353,624   *,e  Banca Carige S.p.A   937 
 40,267,391      Banca Intesa S.p.A.   128,083 
 3,515,894      Banca Intesa S.p.A. RSP   10,460 
 21,184   *,m  Banca Monte dei Paschi di Siena S.p.A   274 
 1,958,865   e  Banca Popolare dell’Emilia Romagna Scrl   9,811 
 417,817   e  Banca Popolare di Sondrio SCARL   1,653 
 16,463      Bancfirst Corp   1,590 
 751,987   e  Banche Popolari Unite Scpa   3,240 
 628,062      Banco ABC Brasil S.A.   3,183 
 3,113,282      Banco Bilbao Vizcaya Argentaria S.A.   25,933 
 1,014,571      Banco BPM S.p.A   3,407 
 1,513,057   *  Banco Bradesco S.A.   12,605 
 4,331,402   *  Banco Bradesco S.A. (Preference)   36,804 
 6,611,877   *  Banco Comercial Portugues S.A.   1,779 
 25,321,479      Banco de Chile   3,289 
 71,788      Banco de Credito e Inversiones   4,012 
 1,951,030      Banco de Oro Universal Bank   4,796 
 1,277,252      Banco de Sabadell S.A.   2,599 
 1,454,432      Banco do Brasil S.A.   11,766 
 631,200      Banco do Estado do Rio Grande do Sul   2,504 
 16,063,377   *,m  Banco Espirito Santo S.A.   183 
 58,200   *,m  Banco Industrial e Comercial S.A.   146 
 5,647,341     Banco Itau Holding Financeira S.A.   62,646 
 60,126      Banco Latinoamericano de Exportaciones S.A. (Class E)   1,646 
 998,348      Banco Santander Brasil S.A.   7,534 
 67,436,141      Banco Santander Chile S.A.   4,291 
 22,517,291      Banco Santander S.A.   149,512 
6

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 435,574   *  BanColombia S.A.  $4,542 
 117,500      BanColombia S.A. (ADR)   5,235 
 689,271      BanColombia S.A. (Preference)   7,667 
 170,114      Bancorpsouth, Inc   5,188 
 118,800      Bangkok Bank PCL (ADR)   646 
 553,400      Bangkok Bank PCL (Foreign)   3,207 
 54,727      Bank Handlowy w Warszawie S.A.   1,016 
 1,801,601      Bank Hapoalim Ltd   12,148 
 2,598,219      Bank Leumi Le-Israel   12,623 
 478,605   *  Bank Millennium S.A.   962 
 131,642      Bank Mutual Corp   1,205 
 43,254,482   n  Bank of America Corp   1,049,354 
 147,503,272      Bank of China Ltd   72,331 
 1,048,500   e  Bank of Chongqing Co Ltd   838 
 30,819   *,e  Bank of Commerce Holdings   341 
 22,680,946      Bank of Communications Co Ltd   16,001 
 1,101,068   e  Bank of East Asia Ltd   4,732 
 129,542      Bank of Georgia Holdings plc   5,893 
 49,151      Bank of Hawaii Corp   4,078 
 77,623,545   *  Bank of Ireland   20,392 
 16,500   e  Bank of Iwate Ltd   659 
 516,000      Bank of Kaohsiung   169 
 2,870,487   e  Bank of Kyoto Ltd   27,201 
 12,796      Bank of Marin Bancorp   788 
 954,741   *  Bank of Montreal   70,104 
 7,899   e  Bank of Nagoya Ltd   299 
 1,813,522   e  Bank of Nova Scotia   109,094 
 359,128      Bank of NT Butterfield & Son Ltd   12,246 
 44,300      Bank of Okinawa Ltd   1,801 
 265,345      Bank of Queensland Ltd   2,335 
 242,541      Bank of Saga Ltd   563 
 243,871      Bank of the Ozarks, Inc   11,430 
 949,969      Bank of the Philippine Islands   1,958 
 144,300      Bank of the Ryukyus Ltd   2,119 
 201,330      Bank Pekao S.A.   6,779 
 11,443,671      Bank Rakyat Indonesia   13,058 
 49,993      Bank Zachodni WBK S.A.   4,616 
 52,034      BankFinancial Corp   776 
 440,824      Bankia S.A.   2,132 
 308,016   e  Bankinter S.A.   2,841 
 188,736      BankUnited   6,362 
 12,739      Bankwell Financial Group, Inc   398 
 76,507      Banner Corp   4,323 
 2,175      Banque Cantonale Vaudoise   1,613 
 503,500      Banregio Grupo Financiero SAB de C.V.   3,190 
 29,176      Bar Harbor Bankshares   899 
 944,705      Barclays Africa Group Ltd   10,387 
 21,487,668      Barclays plc   56,830 
 1,389,561      BB&T Corp   63,100 
 18,683      BCB Bancorp, Inc   286 
 44,712      Bear State Financial, Inc   423 
 231,506      Bendigo Bank Ltd   1,971 
 375,362      Beneficial Bancorp, Inc   5,630 
 205,481      Berkshire Hills Bancorp, Inc   7,223 
 102,490      Blue Hills Bancorp, Inc   1,835 
 1,577,319      BNP Paribas   113,555 
7

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 4,339,616      BOC Hong Kong Holdings Ltd  $20,768 
 117,917   *,e  BofI Holding, Inc   2,797 
 33,152      BOK Financial Corp   2,789 
 199,157      Boston Private Financial Holdings, Inc   3,057 
 13,263   *  BRE Bank S.A.   1,653 
 36,815      Bridge Bancorp, Inc   1,226 
 302,176      Brookline Bancorp, Inc   4,412 
 32,556      Bryn Mawr Bank Corp   1,384 
 614,324      BS Financial Group, Inc   5,874 
 16,536   *  BSB Bancorp, Inc   484 
 3,760,459      Bumiputra-Commerce Holdings BHD   5,764 
 6,943      C&F Financial Corp   326 
 17,307   *  Cadence BanCorp   379 
 6,940,678      CaixaBank S.A.   33,179 
 4,905      California First National Bancorp   92 
 29,794      Camden National Corp   1,278 
 3,322      Can Fin Homes Ltd   166 
 28,702      Canadian Imperial Bank of Commerce/Canada   2,329 
 507,868   *,e  Canadian Imperial Bank of Commerce/Canada   41,274 
 59,110   e  Canadian Western Bank   1,248 
 326,966   *  Canara Bank   1,661 
 87,151      Capital Bank Financial Corp   3,320 
 33,329      Capital City Bank Group, Inc   681 
 39,845      Capitec Bank Holdings Ltd   2,528 
 254,377      Capitol Federal Financial   3,615 
 16,990   *  Capstar Financial Holdings, Inc   301 
 28,566      Carolina Financial Corp   923 
 306,220      Cathay General Bancorp   11,621 
 334,947      Centerstate Banks of Florida, Inc   8,327 
 217,605      Central Pacific Financial Corp   6,848 
 19,711      Central Valley Community Bancorp   437 
 6,324      Century Bancorp, Inc   402 
 5,110,653      Chang Hwa Commercial Bank   2,931 
 55,614      Charter Financial Corp   1,001 
 273,504      Chemical Financial Corp   13,240 
 6,865   e  Chemung Financial Corp   281 
 2,284,666      Chiba Bank Ltd   16,626 
 124,400      Chiba Kogyo Bank Ltd   656 
 9,171,481      China Citic Bank   5,613 
 143,228,748      China Construction Bank   111,381 
 12,399,861      China Development Financial Holding Corp   3,600 
 3,714,685      China Everbright Bank Co Ltd   1,736 
 6,064,896      China Merchants Bank Co Ltd   18,276 
 6,548,310   e  China Minsheng Banking Corp Ltd   6,531 
 16,108,781      Chinatrust Financial Holding Co   10,559 
 492,000      Chong Hing Bank Ltd   1,038 
 11,865,584      Chongqing Rural Commercial Bank   8,002 
 36,505      Chugoku Bank Ltd   548 
 6,200      Chukyo Bank Ltd   127 
 559,267   e  CIT Group, Inc   27,236 
 8,460,352      Citigroup, Inc   565,828 
 26,297   e  Citizens & Northern Corp   612 
 4,828,667      Citizens Financial Group, Inc   172,287 
 29,464      City Holding Co   1,941 
 19,706   e  Civista Bancshares, Inc   411 
 46,532   e  Clifton Bancorp, Inc   769 
8

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 29,342      CNB Financial Corp  $703 
 73,644      CoBiz, Inc   1,281 
 17,785      Codorus Valley Bancorp, Inc   505 
 15,951   *,e  Collector AB   180 
 159,827      Columbia Banking System, Inc   6,369 
 19,415   e  Comdirect Bank AG.   216 
 1,683,181      Comerica, Inc   123,276 
 109,010      Commerce Bancshares, Inc   6,195 
 13,516   *,e  Commerce Union Bancshares, Inc   323 
 193,637      Commercial Bank of Qatar QSC   1,610 
 2,144,911      Commercial International Bank   9,465 
 3,476,878   *  Commerzbank AG.   41,517 
 1,474,538   e  Commonwealth Bank of Australia   93,805 
 97,161      Community Bank System, Inc   5,419 
 48,356   *  Community Bankers Trust Corp   399 
 7,688   *  Community Financial Corp   296 
 30,261      Community Trust Bancorp, Inc   1,324 
 1,109,429      Concordia Financial Group Ltd   5,623 
 118,645      ConnectOne Bancorp, Inc   2,675 
 705,055,190      Corpbanca S.A.   6,276 
 10,353      County Bancorp, Inc   248 
 86,641      Credicorp Ltd (NY)   15,543 
 4,680,161      Credit Agricole S.A.   75,390 
 69,867      Credito Emiliano S.p.A.   566 
 82,556   e  Credito Valtellinese SC   353 
 61,607   *  CU Bancorp   2,227 
 66,927      Cullen/Frost Bankers, Inc   6,285 
 156,231   *  Customers Bancorp, Inc   4,418 
 205,120      CVB Financial Corp   4,601 
 791,928   *,e  CYBG plc   2,849 
 5,646,074   *,m  Cyprus Popular Bank Public Co Ltd   64 
 1,334,027      Dah Sing Banking Group Ltd   2,840 
 463,108      Dah Sing Financial Holdings Ltd   3,887 
 188,000      Daishi Bank Ltd   868 
 1,311,318      Danske Bank AS   50,450 
 5,502,376      DBS Group Holdings Ltd   82,815 
 139,769   g  Deutsche Pfandbriefbank AG.   1,729 
 111,925      Development Credit Bank Ltd   344 
 394,007      Dewan Housing Finance Corp Ltd   2,664 
 167,209      DGB Financial Group Co Ltd   1,724 
 62,725      Dime Community Bancshares   1,229 
 5,584      DNB Financial Corp   192 
 1,171,650      DNB NOR Holding ASA   19,947 
 41,597      Doha Bank QSC   347 
 2,724,111      Dubai Islamic Bank PJSC   4,216 
 8,902,009      E.Sun Financial Holding Co Ltd   5,471 
 121,644   *  Eagle Bancorp, Inc   7,700 
 615,470      East West Bancorp, Inc   36,054 
 37,400   e  Ehime Bank Ltd   472 
 95,000      Eighteenth Bank Ltd   272 
 11,402   *,e  Entegra Financial Corp   259 
 18,906      Enterprise Bancorp, Inc   672 
 86,227      Enterprise Financial Services Corp   3,518 
 7,424   e  Equitable Group, Inc   341 
 20,932   *  Equity Bancshares, Inc   641 
 1,309,887      Erste Bank der Oesterreichischen Sparkassen AG.   50,175 
9

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 15,983      ESSA Bancorp, Inc  $235 
 409,636   *  Essent Group Ltd   15,214 
 1,856,137   *  Eurobank Ergasias S.A.   2,075 
 9,086      Evans Bancorp, Inc   363 
 2,694,221      Far Eastern International Bank   866 
 8,659   e  Farmers & Merchants Bancorp, Inc   537 
 14,982      Farmers Capital Bank Corp   578 
 50,213      Farmers National Banc Corp   728 
 13,242   *,e  FB Financial Corp   479 
 69,460   *  FCB Financial Holdings, Inc   3,317 
 43,555      Federal Agricultural Mortgage Corp (Class C)   2,818 
 874,375      Federal Bank Ltd   1,524 
 53,036      Fidelity Southern Corp   1,212 
 589,658      Fifth Third Bancorp   15,308 
 34,673      Financial Institutions, Inc   1,033 
 1,361,872      FinecoBank Banca Fineco S.p.A   10,735 
 48,440      First Bancorp (NC)   1,514 
 1,282,698   *  First Bancorp (Puerto Rico)   7,427 
 22,863      First Bancorp, Inc   619 
 16,667   e  First Bancshares, Inc   460 
 88,319      First Busey Corp   2,590 
 17,871      First Business Financial Services, Inc   412 
 14,897      First Citizens Bancshares, Inc (Class A)   5,552 
 190,471      First Commonwealth Financial Corp   2,415 
 33,094      First Community Bancshares, Inc   905 
 30,506   *  First Community Financial Partners, Inc   394 
 29,093      First Connecticut Bancorp   746 
 19,023      First Defiance Financial Corp   1,002 
 183,500      First Financial Bancorp   5,083 
 126,984   e  First Financial Bankshares, Inc   5,613 
 31,282      First Financial Corp   1,480 
 7,307,910      First Financial Holding Co Ltd   4,887 
 14,872      First Financial Northwest, Inc   240 
 68,356   *  First Foundation, Inc   1,123 
 7,677   e  First Guaranty Bancshares, Inc   209 
 168,267      First Hawaiian, Inc   5,152 
 257,736      First Horizon National Corp   4,490 
 135,787      First International Bank Of Israel Ltd   2,460 
 12,729      First Internet Bancorp   357 
 81,220      First Interstate Bancsystem, Inc   3,021 
 133,316      First Merchants Corp   5,351 
 19,733      First Mid-Illinois Bancshares, Inc   676 
 471,894      First Midwest Bancorp, Inc   11,000 
 11,261   e  First National Financial Corp   236 
 23,528   *  First Northwest Bancorp   371 
 64,769      First of Long Island Corp   1,852 
 274,606      First Republic Bank   27,488 
 101,940   *  Flagstar Bancorp, Inc   3,142 
 60,733      Flushing Financial Corp   1,712 
 9,500   *  FNB Bancorp   261 
 794,113      FNB Corp   11,245 
 76,905   *  Franklin Financial Network, Inc   3,172 
 911,912      Fukuoka Financial Group, Inc   4,351 
 341,715      Fulton Financial Corp   6,493 
 247,518   e  Genworth MI Canada, Inc   6,810 
 181,594      Genworth Mortgage Insurance Australia Ltd   409 
10

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 42,210      German American Bancorp, Inc  $1,439 
 322,985   *  Get Bank S.A.   123 
 311,693      Glacier Bancorp, Inc   11,411 
 21,472      Great Southern Bancorp, Inc   1,149 
 195,969      Great Western Bancorp, Inc   7,997 
 115,747   *  Green Bancorp, Inc   2,245 
 6,503   e  Greene County Bancorp, Inc   177 
 87,695      Gruh Finance Ltd   604 
 3,292,319      Grupo Aval Acciones y Valores   1,356 
 4,021,568      Grupo Financiero Banorte S.A. de C.V.   25,569 
 71,735      Grupo Financiero Galicia S.A. (ADR) (Class B)   3,059 
 4,192,265      Grupo Financiero Inbursa S.A.   7,161 
 97,100      Grupo Financiero Interacciones S.A. de C.V.   512 
 1,753,874      Grupo Financiero Santander Mexico SAB de C.V.   3,391 
 42,505      Grupo Supervielle S.A. (ADR)   768 
 60,479      Guaranty Bancorp   1,645 
 3,648      Guaranty Bancshares, Inc   117 
 1,213,783      Gunma Bank Ltd   7,309 
 671,000      Habib Bank Ltd   1,722 
 698,216      Hachijuni Bank Ltd   4,449 
 306,709      Hana Financial Group, Inc   12,113 
 174,150      Hancock Holding Co   8,533 
 878,488      Hang Seng Bank Ltd   18,378 
 133,345      Hanmi Financial Corp   3,794 
 28,535   *  HarborOne Bancorp, Inc   570 
 48,288      HDFC Bank Ltd   1,233 
 81,928      Heartland Financial USA, Inc   3,859 
 145,636      Heritage Commerce Corp   2,007 
 88,496      Heritage Financial Corp   2,345 
 575,457      Hilltop Holdings, Inc   15,083 
 2,771      Hingham Institution for Savings   504 
 104,647      Hiroshima Bank Ltd   466 
 187,000      Hokkoku Bank Ltd   719 
 19,000      Hokuetsu Bank Ltd   452 
 84,100      Hokuhoku Financial Group, Inc   1,345 
 12,240      Home Bancorp, Inc   520 
 310,820      Home Bancshares, Inc   7,739 
 41,639   e  Home Capital Group, Inc   546 
 46,047   *  HomeStreet, Inc   1,274 
 61,463   *  HomeTrust Bancshares, Inc   1,500 
 705,316      Hong Leong Bank BHD   2,573 
 89,820      Hong Leong Credit BHD   351 
 372,969      Hope Bancorp, Inc   6,956 
 59,963      Horizon Bancorp   1,580 
 2,122,375      Housing Development Finance Corp   53,004 
 17,214   *  Howard Bancorp, Inc   331 
 10,585,012      HSBC Holdings plc   98,250 
 7,415,024      Hua Nan Financial Holdings Co Ltd   4,302 
 7,559,918   e  Huntington Bancshares, Inc   102,210 
 151,692      Hyakugo Bank Ltd   619 
 158,000      Hyakujushi Bank Ltd   523 
 247,213      IBERIABANK Corp   20,148 
 3,540,353      ICICI Bank Ltd   15,937 
 713,444      ICICI Bank Ltd (ADR)   6,400 
 1,375,188      IDFC Bank Ltd   1,163 
 19,584   *,e  Impac Mortgage Holdings, Inc   296 
11

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 71,106      Independent Bank Corp (MA)  $4,739 
 40,245      Independent Bank Corp (MI)   875 
 34,271      Independent Bank Group, Inc   2,039 
 137,881,749      Industrial & Commercial Bank of China   93,054 
 236,088      Industrial Bank of Korea   2,938 
 17,456,544      ING Groep NV   301,348 
 108,507      International Bancshares Corp   3,803 
 16,050   *,e  Investar Holding Corp   368 
 1,213,407      Investors Bancorp, Inc   16,211 
 541,290   *,m  Irish Bank Resolution Corp Ltd   0 
 1,377,197   *  Israel Discount Bank Ltd   3,628 
 175,400      Iyo Bank Ltd   1,457 
 325,031      Jammu & Kashmir Bank Ltd   428 
 835,291      Japan Post Bank Co Ltd   10,723 
 79,909      JB Financial Group Co Ltd   444 
 359,900      Jimoto Holdings Inc   655 
 12,626,924      JPMorgan Chase & Co   1,154,101 
 219,555      Juroku Bank Ltd   694 
 44,449      Jyske Bank   2,575 
 106,100      Kansai Urban Banking Corp   1,272 
 163,600      Kanto Tsukuba Bank Ltd   494 
 860,766      Karnataka Bank Ltd   2,169 
 480,470      Karur Vysya Bank Ltd   1,075 
 135,500      Kasikornbank PCL - NVDR   791 
 1,737,297      Kasikornbank PCL (Foreign)   10,195 
 864,471      KB Financial Group, Inc   43,647 
 381,455      KBC Groep NV   28,922 
 455,088      Kearny Financial Corp   6,758 
 798,000      Keiyo Bank Ltd   3,465 
 1,083,235      Keycorp   20,300 
 1,871,332      Kiatnakin Bank PCL (Foreign)   3,935 
 1,903,000      King’s Town Bank   1,964 
 52,400      Kiyo Bank Ltd   909 
 20,972      KJB Financial Group Co Ltd   240 
 116,700      Komercni Banka AS   4,674 
 8,228,124      Krung Thai Bank PCL (Foreign)   4,550 
 256,900      Kyushu Financial Group, Inc   1,628 
 88,679      Lakeland Bancorp, Inc   1,672 
 47,332      Lakeland Financial Corp   2,172 
 30,581      Laurentian Bank of Canada   1,277 
 19,634      LCNB Corp   393 
 329,481      LegacyTexas Financial Group, Inc   12,563 
 18,481   *,e  LendingTree, Inc   3,182 
 868,728      LH Financial Group PCL   46 
 296,914   *  Liberbank S.A.   306 
 281,968      LIC Housing Finance Ltd   3,235 
 38,741   e  Live Oak Bancshares, Inc   938 
 23,902,675      Lloyds TSB Group plc   20,599 
 155,928      M&T Bank Corp   25,253 
 61,563      Macatawa Bank Corp   587 
 72,857      MainSource Financial Group, Inc   2,441 
 5,125,932      Malayan Banking BHD   11,498 
 790,637      Malaysia Building Society   245 
 12,249   *  Malvern Bancorp, Inc   293 
 373,327      Masraf Al Rayan   4,029 
 160,357      MB Financial, Inc   7,062 
12

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 39,762      MBT Financial Corp  $386 
 5,400      MCB Bank Ltd   11 
 7,352,527      Mediobanca S.p.A.   72,739 
 11,620,734      Mega Financial Holding Co Ltd   9,660 
 30,674      Mercantile Bank Corp   966 
 150,667      Meridian Bancorp, Inc   2,546 
 54,149      Meta Financial Group, Inc   4,819 
 40,290   *,e  Metro Bank plc   1,883 
 3,549,717      Metropolitan Bank & Trust   6,150 
 1,222,512   *  MGIC Investment Corp   13,692 
 5,102   e  Middlefield Banc Corp   257 
 41,254      Midland States Bancorp, Inc   1,383 
 17,567      Midsouth Bancorp, Inc   206 
 22,874      MidWestOne Financial Group, Inc   775 
 22,200      Mie Bank Ltd   504 
 15,900      Minato Bank Ltd   301 
 21,315,665      Mitsubishi UFJ Financial Group, Inc   143,775 
 233,846      Mitsui Trust Holdings, Inc   8,400 
 145,000      Miyazaki Bank Ltd   478 
 106,689      Mizrahi Tefahot Bank Ltd   1,940 
 21,290,063      Mizuho Financial Group, Inc   39,035 
 3,191,470   g  Moneta Money Bank AS.   10,685 
 20,468      Musashino Bank Ltd   630 
 12,212      MutualFirst Financial, Inc   436 
 51,592      Nanto Bank Ltd   1,473 
 2,026,629      National Australia Bank Ltd   46,103 
 207,272      National Bank Holdings Corp   6,863 
 1,456,239      National Bank of Abu Dhabi PJSC   4,163 
 529,785      National Bank of Canada   22,277 
 5,541,740   *  National Bank of Greece S.A.   2,109 
 14,764   e  National Bankshares, Inc   602 
 38,151   *  National Commerce Corp   1,509 
 135,757   *,e  Nationstar Mortgage Holdings, Inc   2,429 
 1,250,756      Natixis   8,396 
 85,341      NBT Bancorp, Inc   3,153 
 192,293      Nedbank Group Ltd   3,070 
 577,689      New York Community Bancorp, Inc   7,585 
 17,923   *  Nicolet Bankshares, Inc   981 
 96,860      Nishi-Nippon Financial Holdings, Inc   1,010 
 364,781   *  NMI Holdings, Inc   4,177 
 2,929,191   g  Nordax Group AB   15,646 
 2,663,405      Nordea Bank AB   33,922 
 280,600      North Pacific Bank Ltd   985 
 15,818      Northeast Bancorp   322 
 84,751      Northfield Bancorp, Inc   1,453 
 14,601      Northrim BanCorp, Inc   444 
 237,595      Northwest Bancshares, Inc   3,709 
 202,706   *  Norwegian Finans Holding ASA   1,870 
 7,644   *,e  Norwood Financial Corp   323 
 59,901      OceanFirst Financial Corp   1,625 
 1,990   e  Oconee Federal Financial Corp   55 
 735   *  Ocwen Financial Corp   2 
 85,595   e  OFG Bancorp   856 
 628,000      Ogaki Kyoritsu Bank Ltd   1,818 
 7,805   e  Ohio Valley Banc Corp   281 
 115,000   e  Oita Bank Ltd   444 
13

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 20,519      Old Line Bancshares, Inc  $578 
 265,480      Old National Bancorp   4,580 
 6,487   e  Old Point Financial Corp   213 
 62,810      Old Second Bancorp, Inc   725 
 677,585      OneSavings Bank plc   3,309 
 74,122      Opus Bank   1,794 
 56,324      Oriental Bank of Commerce   123 
 75,937      Oritani Financial Corp   1,295 
 15,620      Orrstown Financial Services, Inc   357 
 242,164      OTP Bank   8,105 
 4,135,964      Oversea-Chinese Banking Corp   32,398 
 43,502      Pacific Continental Corp   1,111 
 32,254   *  Pacific Mercantile Bancorp   284 
 205,083   *  Pacific Premier Bancorp, Inc   7,568 
 298,153      PacWest Bancorp   13,924 
 8,278   *,e  Paragon Commercial Corp   434 
 430,388      Paragon Group of Cos plc   2,394 
 26,477      Park National Corp   2,746 
 222,200      Park Sterling Bank   2,640 
 10,156   *,e  Parke Bancorp, Inc   227 
 35,873   *  PCSB Financial Corp   612 
 60,699      Peapack Gladstone Financial Corp   1,899 
 10,369   e  Penns Woods Bancorp, Inc   427 
 30,812   *  PennyMac Financial Services, Inc   515 
 8,282   e  Peoples Bancorp of North Carolina, Inc   262 
 49,921      Peoples Bancorp, Inc   1,604 
 13,669   e  Peoples Financial Services Corp   598 
 418,764      People’s United Financial, Inc   7,395 
 26,961      People’s Utah Bancorp   723 
 4,205,073   *,e  Permanent TSB Group Holdings plc   13,208 
 434,733   *  PHH Corp   5,986 
 3,000,000      Philippine National Bank   3,968 
 170,948      Pinnacle Financial Partners, Inc   10,736 
 6,418,759   *  Piraeus Bank S.A.   1,573 
 1,978,037      PNC Financial Services Group, Inc   246,997 
 266,598      Popular, Inc   11,120 
 1,071,446      Powszechna Kasa Oszczednosci Bank Polski S.A.   9,961 
 75,948      Preferred Bank   4,061 
 20,472      Premier Financial Bancorp, Inc   422 
 145,306      Prosperity Bancshares, Inc   9,334 
 9,469   *  Provident Bancorp, Inc   213 
 12,653      Provident Financial Holdings, Inc   244 
 202,005      Provident Financial Services, Inc   5,127 
 16,058      Prudential Bancorp, Inc   292 
 61,911,900      PT Bank Bukopin Tbk   2,920 
 8,147,074      PT Bank Central Asia Tbk   11,111 
 3,382,157      PT Bank Danamon Indonesia Tbk   1,295 
 9,539,400      PT Bank Jabar Banten Tbk   1,581 
 9,619,580      PT Bank Mandiri Persero Tbk   9,221 
 8,408,219      PT Bank Negara Indonesia   4,134 
 44,500,000   *  PT Bank Pan Indonesia Tbk   3,243 
 42,918,500      PT Bank Pembangunan Daerah Jawa Timur Tbk   2,136 
 12,002,494      PT Bank Tabungan Negara Tbk   2,344 
 3,060,584      Public Bank BHD   14,486 
 129,237   *  Qatar First Bank   273 
 52,978      Qatar Islamic Bank SAQ   1,339 
14

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 242,154      Qatar National Bank  $8,402 
 34,671      QCR Holdings, Inc   1,643 
 778,874      Radian Group, Inc   12,735 
 93,646   *  Raiffeisen International Bank Holding AG.   2,364 
 54,573   *,g  RBL Bank Ltd   428 
 1,834,633      Regions Financial Corp   26,859 
 85,139      Renasant Corp   3,724 
 21,329      Republic Bancorp, Inc (Class A)   761 
 99,052   *,e  Republic First Bancorp, Inc   916 
 1,983,094      Resona Holdings, Inc   10,954 
 601,802      RHB Capital BHD   709 
 34,786      Riverview Bancorp, Inc   231 
 76,840      Rizal Commercial Banking Corp   89 
 5,200   *,m  Roskilde Bank   0 
 1,970,555   *  Royal Bank of Canada   143,081 
 2,815,674   *  Royal Bank of Scotland Group plc   9,085 
 67,595      S&T Bancorp, Inc   2,424 
 96,422      Sandy Spring Bancorp, Inc   3,921 
 95,900      San-In Godo Bank Ltd   810 
 4,792,270      Sberbank of Russian Federation (ADR)   49,658 
 107,353   *  Seacoast Banking Corp of Florida   2,587 
 164,440      Security Bank Corp   707 
 302,780      Senshu Ikeda Holdings, Inc   1,281 
 92,063      ServisFirst Bancshares, Inc   3,396 
 402,093   e  Seven Bank Ltd   1,442 
 113,709   g  Shawbrook Group plc   502 
 194,000      Shiga Bank Ltd   1,003 
 352,000      Shikoku Bank Ltd   983 
 950,383      Shinhan Financial Group Co Ltd   41,004 
 14,073,579      Shinsei Bank Ltd   24,654 
 283,400      Shizuoka Bank Ltd   2,570 
 31,785      Shore Bancshares, Inc   523 
 22,544      SI Financial Group, Inc   363 
 1,840,517      Siam Commercial Bank PCL (Foreign)   8,415 
 26,140      Sierra Bancorp   642 
 38,378   *  Signature Bank   5,508 
 59,780      Simmons First National Corp (Class A)   3,162 
 10,749,190      SinoPac Financial Holdings Co Ltd   3,285 
 54,663   g  Skandiabanken ASA   517 
 1,409,851      Skandinaviska Enskilda Banken AB (Class A)   17,069 
 14,216   *  SmartFinancial, Inc   339 
 1,760,845   e  Societe Generale   94,955 
 2,578,170      South Indian Bank Ltd   1,106 
 119,744      South State Corp   10,262 
 13,442   *  Southern First Bancshares, Inc   498 
 12,367   e  Southern Missouri Bancorp, Inc   399 
 24,150      Southern National Bancorp of Virginia, Inc   425 
 54,630      Southside Bancshares, Inc   1,909 
 75,092      Southwest Bancorp, Inc   1,919 
 186,183      Spar Nord Bank A/s   2,442 
 339,424      Sparebanken Midt-Norge   2,919 
 292,878      Sparebanken Nord-Norge   1,992 
 2,534      St Galler Kantonalbank   1,118 
 2,109,315      Standard Bank Group Ltd   23,229 
 1,292,479   *  Standard Chartered plc   13,090 
 73,820      State Bank & Trust Co   2,002 
15

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,733,738      State Bank of India  $7,330 
 637,718      Sterling Bancorp/DE   14,827 
 43,013      Stock Yards Bancorp, Inc   1,673 
 50,459      Stonegate Bank   2,330 
 2,665,212      Sumitomo Mitsui Financial Group, Inc   104,062 
 21,688      Summit Financial Group, Inc   477 
 22,275      Sun Bancorp, Inc   549 
 14,463   *  Sunshine Bancorp, Inc   308 
 2,520,838      SunTrust Banks, Inc   142,982 
 139,790      Suruga Bank Ltd   3,400 
 104,289   *  SVB Financial Group   18,333 
 370,527      Svenska Handelsbanken AB   5,307 
 905,328      Swedbank AB (A Shares)   22,095 
 177,627      Sydbank AS   6,695 
 50,584   *  Syndicate Bank   57 
 178,844      Synovus Financial Corp   7,912 
 2,342,940      Taichung Commercial Bank   789 
 12,062,609      Taishin Financial Holdings Co Ltd   5,490 
 8,214,087      Taiwan Business Bank   2,295 
 7,756,326      Taiwan Cooperative Financial Holding   4,117 
 419,075      TCF Financial Corp   6,680 
 328,197      TCS Group Holding plc (ADR)   3,774 
 16,421      Territorial Bancorp, Inc   512 
 98,437   *  Texas Capital Bancshares, Inc   7,619 
 208,651      TFS Financial Corp   3,228 
 3,161,400      Thanachart Capital PCL   4,277 
 100,121   *  The Bancorp, Inc   759 
 50,160      Timbercreek Financial Corp   362 
 11,956   e  Timberland Bancorp, Inc   302 
 2,655,680      Tisco Bank PCL   5,939 
 9,872,087   m  TMB Bank PCL (Foreign)   668 
 80,900      Tochigi Bank Ltd   344 
 129,000      Toho Bank Ltd   455 
 43,593      Tokyo TY Financial Group, Inc   1,207 
 521,100      Tomony Holdings, Inc   2,545 
 28,820      Tompkins Trustco, Inc   2,269 
 2,830,099      Toronto-Dominion Bank   142,618 
 435,000      Towa Bank Ltd   489 
 110,862      TowneBank   3,415 
 79,765      Trico Bancshares   2,804 
 44,161   *  Tristate Capital Holdings, Inc   1,113 
 60,561   *  Triumph Bancorp, Inc   1,487 
 303,957      Trustco Bank Corp NY   2,356 
 134,528      Trustmark Corp   4,326 
 4,982,086      Turkiye Garanti Bankasi AS   13,867 
 776,763      Turkiye Halk Bankasi AS   2,903 
 5,712,537      Turkiye Is Bankasi (Series C)   12,096 
 3,908,714      Turkiye Sinai Kalkinma Bankasi AS   1,578 
 655,709      Turkiye Vakiflar Bankasi Tao   1,206 
 14,155   e  Two River Bancorp   263 
 89,442      UMB Financial Corp   6,696 
 490,977      Umpqua Holdings Corp   9,014 
 5,222,411   *  UniCredit S.p.A   97,822 
 500,244      Union Bank of India   1,139 
 156,654   e  Union Bankshares Corp   5,311 
 8,617   e  Union Bankshares, Inc   409 
16

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 6,000      United Bank Ltd  $13 
 213,736   e  United Bankshares, Inc   8,378 
 330,540      United Community Banks, Inc   9,189 
 100,910      United Community Financial Corp   839 
 174,235      United Financial Bancorp, Inc (New)   2,908 
 2,028,072      United Overseas Bank Ltd   34,049 
 25,564   *  United Security Bancshares   236 
 14,747      Unity Bancorp, Inc   254 
 49,897      Univest Corp of Pennsylvania   1,494 
 3,445,293      US Bancorp   178,880 
 13,870      Valiant Holding   1,600 
 1,154,891      Valley National Bancorp   13,639 
 28,186   *  Veritex Holdings, Inc   742 
 463,878      Vijaya Bank   519 
 673,588      Virgin Money Holdings UK plc   2,339 
 5,351,402      VTB Bank OJSC (GDR)   11,264 
 129,195   *  Walker & Dunlop, Inc   6,309 
 178,967      Washington Federal, Inc   5,942 
 38,956      Washington Trust Bancorp, Inc   2,008 
 24,291      WashingtonFirst Bankshares, Inc   839 
 88,397      Waterstone Financial, Inc   1,666 
 90,198      Webster Financial Corp   4,710 
 17,661,819      Wells Fargo & Co   978,641 
 83,265      WesBanco, Inc   3,292 
 39,608      West Bancorporation, Inc   937 
 50,368   e  Westamerica Bancorporation   2,823 
 347,959   *  Western Alliance Bancorp   17,120 
 58,308      Western New England Bancorp, Inc   592 
 3,718,163      Westpac Banking Corp   87,057 
 230,211      Wintrust Financial Corp   17,597 
 397,904   *  WMIH Corp   497 
 1,049,798      Woori Bank   16,911 
 151,548      WSFS Financial Corp   6,873 
 10,097   *  Xenith Bankshares, Inc   314 
 90,000   e  Yamagata Bank Ltd   404 
 117,492      Yamaguchi Financial Group, Inc   1,423 
 302,000      Yamanashi Chuo Bank Ltd   1,278 
 4,101,804   *  Yapi ve Kredi Bankasi   5,233 
 506,624      Yes Bank Ltd   11,461 
 2,848,984      Zions Bancorporation   125,099 
        TOTAL BANKS   10,720,560 
                
CAPITAL GOODS - 8.1%        
 2,612,596      3M Co   543,916 
 380,743      A.O. Smith Corp   21,447 
 69,048      Aalberts Industries NV   2,748 
 81,155      Aaon, Inc   2,991 
 73,302      AAR Corp   2,548 
 2,860,549      ABB Ltd   71,002 
 3,422,200   *  Abengoa S.A.   137 
 1,879,507      Aboitiz Equity Ventures, Inc   2,833 
 306,000      AcBel Polytech, Inc   238 
 319,579      ACS Actividades Construccion y Servicios S.A.   12,356 
 117,263      Actuant Corp (Class A)   2,885 
 39,195      Acuity Brands, Inc   7,968 
 612,670      Adani Enterprises Ltd   1,255 
17

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 68,273      Aditya Birla Nuvo Ltd  $1,963 
 505,600      Advan Co Ltd   5,147 
 69,348      Advanced Drainage Systems, Inc   1,394 
 357,793   *  Aecom Technology Corp   11,567 
 190,633      Aecon Group, Inc   2,373 
 66,089   *  Aegion Corp   1,446 
 428,153   *  AerCap Holdings NV   19,879 
 141,049   *  Aerojet Rocketdyne Holdings, Inc   2,934 
 40,733   *  Aerovironment, Inc   1,556 
 25,035   *,e  AFG Arbonia-Forster Hldg   458 
 11,346      AG Growth International Inc   505 
 988,767      AGCO Corp   66,633 
 123,462      Ahlsell AB   847 
 42,980      AIA Engineering Ltd   928 
 33,799      Aica Kogyo Co Ltd   1,032 
 95,500   e  Aichi Corp   665 
 61,300      Aida Engineering Ltd   588 
 227,356      Air Lease Corp   8,494 
 92,989      Aircastle Ltd   2,023 
 188,405      Airtac International Group   2,227 
 47,245      Alamo Group, Inc   4,290 
 71,270      Alarko Holding AS   116 
 57,053      Albany International Corp (Class A)   3,047 
 71,913      Alfa Laval AB   1,472 
 2,811,714      Alfa S.A. de C.V. (Class A)   4,000 
 23,134   e,g  Alimak Group AB   385 
 508,480      Allegion plc   41,248 
 24,781,865      Alliance Global Group, Inc   7,020 
 20,074      Allied Motion Technologies, Inc   546 
 632,587      Allison Transmission Holdings, Inc   23,728 
 28,875   *  Alstom Projects India Ltd   277 
 65,170   *,e  Alstom RGPT   2,276 
 77,733      Alstom T&D India Ltd   412 
 56,497      Altra Holdings, Inc   2,249 
 207,536      Amada Co Ltd   2,407 
 15,123      Amara Raja Batteries Ltd   196 
 39,280   *  Ameresco, Inc   302 
 14,340   e  American Railcar Industries, Inc   549 
 96,492   *  American Woodmark Corp   9,220 
 191,614      Ametek, Inc   11,606 
 14,399      Andritz AG.   869 
 61,300      Anest Iwata Corp   563 
 56,073      Apogee Enterprises, Inc   3,187 
 169,344      Applied Industrial Technologies, Inc   10,000 
 425,997   *  Arabtec Holding Co   331 
 46,004      Arcadis NV   831 
 4,103   *  Arcam AB   163 
 843,048      Arconic, Inc   19,095 
 105,837      Argan, Inc   6,350 
 45,618   *  Armstrong Flooring, Inc   820 
 98,751   *  Armstrong World Industries, Inc   4,543 
 34,300      Asahi Diamond Industrial Co Ltd   253 
 90,046      Asahi Glass Co Ltd   3,803 
 495,760   *  Aselsan Elektronik Sanayi Ve Ticaret AS   3,080 
 1,186,014      Ashok Leyland Ltd   1,721 
 37,048      Ashoka Buildcon Ltd   106 
18

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,347,906      Ashtead Group plc  $48,584 
 1,580,220      Assa Abloy AB   34,830 
 110,763   e  Astaldi S.p.A.   689 
 135,799      Astec Industries, Inc   7,538 
 21,950      Astral Polytechnik Ltd   233 
 57,521   *  Astronics Corp   1,753 
 858,016      Asunaro Aoki Construction Co Ltd   6,477 
 286,687   *  Atkore International Group, Inc   6,465 
 599,254      Atlas Copco AB (A Shares)   23,042 
 201,895      Atlas Copco AB (B Shares)   6,978 
 52,721   *  ATS Automation Tooling Systems, Inc   540 
 3,291,991      Austal Ltd   4,638 
 2,562,019   e  AviChina Industry & Technology Co   1,503 
 103,407   *,e  Axon Enterprise, Inc   2,600 
 51,231      AZZ, Inc   2,859 
 44,404      B&B Tools AB   655 
 96,131   *  Babcock & Wilcox Enterprises, Inc   1,131 
 54,251   e  Badger Daylighting Ltd   1,114 
 6,168,275      BAE Systems plc   50,921 
 460,306      Balfour Beatty plc   1,624 
 38,200      Bando Chemical Industries Ltd   379 
 184,000      Baoye Group Co Ltd   131 
 842,824      Barloworld Ltd   7,009 
 151,076      Barnes Group, Inc   8,842 
 9,287      BayWa AG.   330 
 53   *,m  Beacon Power Corp   0^
 119,838   *  Beacon Roofing Supply, Inc   5,872 
 504,799      Beijing Enterprises Holdings Ltd   2,434 
 183,000   g  Beijing Urban Construction Design & Development Group Co Ltd   99 
 7,826      BEML Ltd   186 
 15,580,000   e  BEP International Holdings Ltd   499 
 2,305,237      Berjaya Corp BHD   183 
 1,461,700      Berli Jucker PCL   2,053 
 1,113,000      BES Engineering Corp   235 
 547,850      Bharat Heavy Electricals   1,144 
 541,464      Bidvest Group Ltd   6,521 
 55,093      Biesse S.p.A.   1,981 
 97,470   e  Bird Construction Income Fund   640 
 71,155      Bizlink Holdings Inc   502 
 14,241   *,e  Blue Bird Corp   242 
 18,700      Blue Star Ltd   173 
 162,400   *  BMC Stock Holdings, Inc   3,548 
 26,315      Bobst Group AG.   2,530 
 7,500   g  BOC Aviation Ltd   40 
 149,755      Bodycote plc   1,470 
 1,465,953      Boeing Co   289,892 
 201,000   *,e  Boer Power Holdings Ltd   65 
 2,874,506   *  Bombardier, Inc   5,231 
 28,921      Boskalis Westminster   939 
 15,106      Bossard Holding AG.   3,062 
 182,627      Boustead Singapore Ltd   117 
 408,457      Bouygues S.A.   17,208 
 32,377      Brenntag AG.   1,878 
 82,956      Briggs & Stratton Corp   1,999 
 51      Brookfield Business Partners LP   1 
19

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 4,439      Bucher Industries AG.  $1,397 
 18,615      Budimex S.A.   1,196 
 23,062      Bufab AB   255 
 267,056   *  Builders FirstSource, Inc   4,091 
 36,800      Bunka Shutter Co Ltd   283 
 280,673      Bunzl plc   8,368 
 31,495   e  Burckhardt Compression Holding AG.   9,032 
 7,058      Burkhalter Holding AG.   1,009 
 148,906      BWX Technologies, Inc   7,259 
 24,426      Byucksan Corp   84 
 237,974      CAE, Inc   4,103 
 374,584   *  Caesarstone Sdot-Yam Ltd   13,129 
 129,087   *  CAI International, Inc   3,046 
 9,733      Carbone Lorraine   320 
 36,017      Carborundum Universal Ltd   181 
 49,147      Cargotec Corp (B Shares)   3,118 
 2,496,738   e  Carillion plc   6,072 
 59,920      Carlisle Cos, Inc   5,716 
 1,607,637      Caterpillar, Inc   172,757 
 633,500      CB Industrial Product Holding BHD   299 
 1,112,327      Central Glass Co Ltd   4,799 
 23,999      CENTROTEC Sustainable AG.   528 
 2,492      Cera Sanitaryware Ltd   111 
 365,225      CH Karnchang PCL   311 
 400,000      CH Karnchang PCL (ADR)   341 
 104,100      Changchai Co Ltd   58 
 60,715   *  Chart Industries, Inc   2,109 
 79,030      Cheil Industries, Inc   10,226 
 201,120      Chemring Group plc   485 
 550,300   *,m  Chengde Nanjiang Co Ltd   204 
 201,152   e  Chicago Bridge & Iron Co NV   3,969 
 525,249      Chicony Power Technology Co Ltd   1,091 
 738,000   e  China Aircraft Leasing Group Holdings Ltd   860 
 1,722,000   *,e  China Chengtong Development Group Ltd   106 
 4,280,192      China Communications Construction Co Ltd   5,513 
 1,605,500      China Conch Venture Holdings Ltd   2,939 
 1,396,000   *,e  China Energine International Holdings Ltd   113 
 1,000,818      China Fangda Group Co Ltd   621 
 229,000   e  China High Speed Transmission Equipment Group Co Ltd   251 
 741,000      China Lesso Group Holdings Ltd   570 
 8,585,000   *,e  China Ocean Shipbuilding Industry Group Ltd   198 
 3,494,443      China Railway Construction Corp   4,555 
 3,982,127      China Railway Group Ltd   3,136 
 1,580,680   e  China Singyes Solar Technologies Holdings Ltd   662 
 1,752,685      China State Construction International Holdings Ltd   2,999 
 11,710,000   *,e  China Strategic Holdings Ltd   181 
 116,109      China Yuchai International Ltd   2,114 
 1,184,600   e  Chip Eng Seng Corp Ltd   624 
 107,000      Chiyoda Corp   632 
 6,900      Chiyoda Integre Co Ltd   137 
 19,134,000      Chongqing Machinery & Electric Co Ltd   2,476 
 25,000      Chudenko Corp   649 
 750,375      Chung Hsin Electric & Machinery Manufacturing Corp   523 
 675,061      CIMIC Group Ltd   20,142 
 561,918      CIR-Compagnie Industriali Riunite S.p.A.   789 
 32,477      CIRCOR International, Inc   1,928 
20

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 8,125,796      Citic Pacific Ltd  $12,216 
 1,789,000   e  Citic Resources Holdings Ltd   197 
 14,922      CJ Corp   2,471 
 2,610,725      CK Hutchison Holdings Ltd   32,763 
 164,300      CKD Corp   2,516 
 8,829,381      CNH Industrial NV   100,132 
 5,337,420      CNH Industrial NV (NYSE)   60,740 
 860,080   *,e  Cobham plc   1,452 
 727,905   *  Colfax Corp   28,658 
 38,420      Columbus McKinnon Corp   977 
 348,624      Comfort Systems USA, Inc   12,934 
 89,685   *  Commercial Vehicle Group, Inc   758 
 2,885,518      Compagnie de Saint-Gobain   154,101 
 7,420      Compagnie d’Entreprises CFE   1,051 
 241,600      COMSYS Holdings Corp   4,988 
 4,548      Concentric AB   74 
 18,290,000      Concord New Energy Group Ltd   761 
 242,652   *,e  Consolidated Infrastructure Group Ltd   306 
 13,618      Construcciones y Auxiliar de Ferrocarriles S.A.   559 
 370,004   *  Continental Building Products Inc   8,621 
 1,001,450      Continental Engineering Corp   375 
 2,729      Conzzeta AG.   2,702 
 1,673,500   *,e  Cosco Corp Singapore Ltd   334 
 14,285      Cosel Co Ltd   176 
 217,477      Costain Group plc   1,306 
 146,781      Cramo Oyj (Series B)   4,392 
 140,238      Crane Co   11,132 
 348,000      CRCC High-Tech Equipment Corp Ltd   147 
 750,659   *  Crompton Greaves Ltd   952 
 4,276,321      CRRC Corp Ltd   3,847 
 3,318      CS Wind Corp   80 
 337,590      CSBC Corp Taiwan   143 
 28,068   *  CSW Industrials, Inc   1,085 
 1,371,000      CTCI Corp   2,334 
 49,553      Cubic Corp   2,294 
 301,826      Cummins, Inc   48,962 
 203,464      Curtiss-Wright Corp   18,674 
 219,200      CWT Ltd   355 
 29,073      Daelim Industrial Co   2,262 
 5,382      Daetwyler Holding AG.   917 
 126,205   *  Daewoo Engineering & Construction Co Ltd   836 
 43,380      Daewoo International Corp   846 
 75,000   *,m  Daewoo Shipbuilding & Marine Engineering Co Ltd   0^
 66,000      Daifuku Co Ltd   1,980 
 67,641      Daihen Corp   533 
 73,000      Daiho Corp   347 
 103,000      Daiichi Jitsugyo Co Ltd   563 
 213,704      Daikin Industries Ltd   21,924 
 18,500      Daiwa Industries Ltd   202 
 139,160      Dalian Refrigeration Co Ltd   76 
 8,728   e  Danieli & Co S.p.A.   213 
 55,669      Danieli & Co S.p.A. (RSP)   997 
 3,254      Dassault Aviation S.A.   4,547 
 13,119      Dawonsys Co Ltd   200 
 76,766      DCC plc   6,991 
 626,202      Deere & Co   77,392 
21

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 10,500      Denyo Co Ltd  $183 
 65,776      Deutz AG.   556 
 17,689   *,e  Dialight plc   253 
 145,868   *  DigitalGlobe, Inc   4,857 
 82,741   *  Dilip Buildcon Ltd   573 
 160,263      Diploma plc   2,307 
 55,396   *,e  DIRTT Environmental Solutions   293 
 29,215      DMC Global, Inc   383 
 16,087,980      DMCI Holdings, Inc   4,495 
 28,832      DMG Mori AG.   1,622 
 851,825   *  Dogan Sirketler Grubu Holdings   179 
 272,685      Donaldson Co, Inc   12,418 
 133,416   e  Dong Yang Gang Chul Co Ltd   518 
 7,355   e  Dongkuk Structures & Construction Co Ltd   44 
 70,319      Doosan Bobcat, Inc   2,191 
 42,862      Doosan Heavy Industries and Construction Co Ltd   785 
 197,392   *  Doosan Infracore Co Ltd   1,461 
 75,991      Douglas Dynamics, Inc   2,500 
 1,407,640      Dover Corp   112,921 
 20,922   *  Ducommun, Inc   661 
 96,656   e  Duerr AG.   11,503 
 61,477   *  DXP Enterprises, Inc   2,121 
 60,246   *,e  Dycom Industries, Inc   5,393 
 4,377,900      Dynasty Ceramic PCL   523 
 5,909      e Tec E&C Ltd   737 
 10,917      Eastern Co   328 
 1,350,367      Eaton Corp   105,099 
 64,465      Ebara Corp   1,796 
 23,043      Eicher Motors Ltd   9,632 
 16,614      Eiffage S.A.   1,509 
 960,500      Ekovest BHD   268 
 17,428      Elbit Systems Ltd   2,150 
 1,351      Electra Israel Ltd   271 
 481,250   *,e,g  Elementia SAB de C.V.   663 
 81,032   e,g  Eltel AB   281 
 253,138      EMCOR Group, Inc   16,550 
 618,819      Emerson Electric Co   36,894 
 1,153,426      Empresa Brasileira de Aeronautica S.A.   5,268 
 46,537      Encore Wire Corp   1,987 
 37,220   *,e  Energous Corp   605 
 72,353   *  Energy Recovery, Inc   600 
 156,990      EnerSys   11,374 
 135,413   *  Engility Holdings, Inc   3,846 
 115,531      Engineers India Ltd   275 
 42,610      EnPro Industries, Inc   3,041 
 392,000   e  Enric Energy Equipment Holdings Ltd   245 
 6,931   e  EnviroStar, Inc   187 
 13,000      EPCO Co Ltd   202 
 374,556      Equifax, Inc   51,471 
 50,182      ESCO Technologies, Inc   2,993 
 38,057      Escorts Ltd   379 
 51,863   *  Esterline Technologies Corp   4,917 
 730,250      European Aeronautic Defence and Space Co   60,264 
 20,564      Exco Technologies Ltd   169 
 12,791   *,e  FACC AG.   120 
 44,941      Fanuc Ltd   8,698 
22

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 518,000      Far East Global Group Ltd  $67 
 2,823,517      Far Eastern Textile Co Ltd   2,295 
 803,193      Fastenal Co   34,963 
 9,120,000   *,e  FDG Electric Vehicles Ltd   379 
 116,628      Federal Signal Corp   2,025 
 2,945      Feintool International Holding AG.   366 
 131,208      Fenner plc   489 
 408,357      Ferrovial S.A.   9,071 
 5,617   *  FIGEAC-AERO   129 
 362,025   *  Fincantieri S.p.A   406 
 31,402   *  Finetex EnE, Inc   131 
 816,087      Finmeccanica S.p.A.   13,588 
 135,213      Finning International, Inc   2,650 
 126,251      Finolex Cables Ltd   890 
 306,000      First Tractor Co   154 
 118,672      Flowserve Corp   5,510 
 25,655   e  FLSmidth & Co AS   1,621 
 326,160      Fluor Corp   14,932 
 55,677   *  Fomento de Construcciones y Contratas S.A.   602 
 30,279      Force Motors Ltd   1,973 
 2,193,418      Fortive Corp   138,953 
 870,179      Fortune Brands Home & Security, Inc   56,770 
 189,130      Foshan Electrical and Lighting Co Ltd   149 
 2,790,624   e  Fosun International   4,358 
 26,270   *  Foundation Building Materials, Inc   338 
 91,373      Franklin Electric Co, Inc   3,783 
 24,877      Freightcar America, Inc   433 
 274,700      Fudo Tetra Corp   440 
 378,540      Fuji Electric Holdings Co Ltd   2,002 
 66,992   e  Fuji Machine Manufacturing Co Ltd   969 
 742,278      Fujikura Ltd   6,244 
 129,100      Fujitec Co Ltd   1,693 
 31,600      Fukuda Corp   1,503 
 35,200      Fukushima Industries Corp   1,355 
 307,000      Furukawa Co Ltd   535 
 213,200      Furukawa Electric Co Ltd   9,506 
 92,519   *  Futaba Corp/Chiba   1,626 
 307,773      Galliford Try plc   4,659 
 386,937   e  Gamesa Corp Tecnologica S.A.   8,279 
 1,940,603      Gamuda BHD   2,486 
 1,253,123   *  Gardner Denver Holdings, Inc   27,080 
 77,201   e  GATX Corp   4,962 
 78,417      Gayatri Projects Ltd   193 
 948,388      GEA Group AG.   38,942 
 7,221      Geberit AG.   3,372 
 10,000      Gecoss Corp   120 
 15,809   *  Gencor Industries, Inc   256 
 122,120   *  Generac Holdings, Inc   4,412 
 96,207      General Cable Corp   1,573 
 1,172,645      General Dynamics Corp   232,301 
 22,010,495      General Electric Co   594,503 
 4,008      Georg Fischer AG.   3,888 
 97,839   *  Gibraltar Industries, Inc   3,488 
 8,700   e  Giken Seisakusho Co, Inc   233 
 190,608      Global Brass & Copper Holdings, Inc   5,823 
 98,056      Glory Ltd   3,221 
23

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,463,266   *  GMR Infrastructure Ltd  $445 
 78,311   *  GMS, Inc   2,201 
 35,123      Gorman-Rupp Co   895 
 56,345      Graco, Inc   6,157 
 1,092,286      Grafton Group plc   10,026 
 19,230      Graham Corp   378 
 85,182   e  Grana y Montero S.A. (ADR)   278 
 132,392      Granite Construction, Inc   6,387 
 117,544   *  Great Lakes Dredge & Dock Corp   505 
 56,185      Greaves Cotton Ltd   141 
 53,158   e  Greenbrier Cos, Inc   2,459 
 59,954      Griffon Corp   1,316 
 437,684      Grupo Carso S.A. de C.V. (Series A1)   1,843 
 73,000   e  Grupo Rotoplas SAB de C.V.   113 
 50,570   *  GS Engineering & Construction Corp   1,347 
 275,000      GS Yuasa Corp   1,200 
 1,511,593      Gunkul Engineering PCL   182 
 582,625      GWA International Ltd   1,410 
 62,516      H&E Equipment Services, Inc   1,276 
 704,813      Haitian International Holdings Ltd   1,975 
 30,942      Haldex AB   389 
 101,186      Halim Co Ltd   384 
 205,796   *  Hangzhou Steam Turbine Co   211 
 44,183   *  Hanjin Heavy Industries & Construction Co Ltd   174 
 1,951,395      Hanwa Co Ltd   13,993 
 120,211      Hanwha Corp   4,982 
 34,375      Hanwha Corp (3P)   604 
 470,400      HAP Seng Consolidated BHD   1,012 
 1,848,000      Harbin Power Equipment   932 
 24,162      Hardinge, Inc   300 
 20,200   e  Harmonic Drive Systems, Inc   701 
 404,873   *  Harsco Corp   6,518 
 239,470      Havells India Ltd   1,704 
 498,700      Hazama Ando Corp   3,147 
 302,919   *  HC2 Holdings, Inc   1,781 
 837,828   *,n  HD Supply Holdings, Inc   25,663 
 64,031      HEICO Corp   4,600 
 152,117      HEICO Corp (Class A)   9,439 
 177,465   *,e  Heidelberger Druckmaschinen   540 
 246,280   *  Hellenic Technodomiki Tev S.A.   408 
 104,957   *  Herc Holdings, Inc   4,127 
 50,320   *,e  Hexagon Composites ASA   164 
 567,095      Hexcel Corp   29,937 
 32,900      Hibiya Engineering Ltd   563 
 132,419      Hillenbrand, Inc   4,780 
 357,830   *  Hindustan Construction Co   216 
 88,820      Hino Motors Ltd   992 
 11,900   e  Hirata Corp   1,236 
 13,800      Hisaka Works Ltd   120 
 23,091      Hitachi Construction Machinery Co Ltd   581 
 110,100      Hitachi Zosen Corp   544 
 192,547      Hiwin Technologies Corp   1,299 
 36,999   *  Hochtief AG.   6,792 
 35      Hock Seng Lee BHD   0^
 4,631,541      Honeywell International, Inc   617,338 
 72,100      Hong Leong Industries BHD   170 
24

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 997,300      Hopewell Holdings  $3,799 
 28,909      Hoshizaki Electric Co Ltd   2,623 
 94,572      Hosken Consolidated Investments Ltd   964 
 1,588,784      Howden Joinery Group plc   8,428 
 2,285,000   *,e,m  Hsin Chong Construction Group Ltd   77 
 83,400   *  Huangshi Dongbei Electrical Appliance Co Ltd   124 
 65,848      Hubbell, Inc   7,452 
 13,495      Huber & Suhner AG.   1,009 
 52,093      Hudaco Industries Ltd   512 
 168,236      Huntington Ingalls   31,319 
 12,783      Hurco Cos, Inc   444 
 46,495   *,e  Huttig Building Products, Inc   326 
 6,148      Hy-Lok Corp   135 
 29,181      Hyster-Yale Materials Handling, Inc   2,050 
 1,547   *  Hyundai Construction Equipment Co Ltd   465 
 22,166      Hyundai Corp   391 
 104,600      Hyundai Development Co   4,296 
 1,600   *  Hyundai Electric & Energy System Co Ltd   436 
 9,243      Hyundai Elevator Co Ltd   495 
 108,755      Hyundai Engineering & Construction Co Ltd   4,381 
 28,222   *  Hyundai Heavy Industries   4,363 
 8,277   *  Hyundai Mipo Dockyard   790 
 17,831   *  Hyundai Rotem Co Ltd   322 
 40,100      Idec Corp   522 
 120,901      IDEX Corp   13,663 
 16,254   *,e  IES Holdings, Inc   295 
 3,109,712      IJM Corp BHD   2,507 
 297,080      Illinois Tool Works, Inc   42,557 
 72,335      IMARKETKOREA, Inc   860 
 193,392      IMI plc   3,012 
 10,723      Implenia AG.   804 
 122,639   e  Impregilo S.p.A.   424 
 8,350      IMS-Intl Metal Service   221 
 52,000      Inaba Denki Sangyo Co Ltd   1,978 
 42,600      Inabata & Co Ltd   567 
 40,959      Indus Holding AG.   2,905 
 47,170      Industria Macchine Automatiche S.p.A.   4,340 
 151,468      Industries Qatar QSC   3,942 
 60,258   e  Indutrade AB   1,381 
 1,705,304      Ingersoll-Rand plc   155,848 
 47,375      Insteel Industries, Inc   1,562 
 47,359      Interpump Group S.p.A.   1,296 
 96,926      Invicta Holdings Ltd   430 
 175,220      Inwido AB   2,462 
 52,200      Iochpe-Maxion S.A.   262 
 185,252      IRB Infrastructure Developers Ltd   599 
 29,193      IS Dongseo Co Ltd   1,123 
 11,800      Iseki & Co Ltd   232 
 4,171      ISGEC Heavy Engineering Ltd   394 
 21,836,431   *  Ishikawajima-Harima Heavy Industries Co Ltd   74,623 
 835,450      Italian-Thai Development PCL   107 
 34,274      Italmobiliare S.p.A   937 
 2,093,394      Itochu Corp   31,168 
 178,449      ITT, Inc   7,170 
 64,128   *  IVRCL Infrastructures & Projects Ltd   5 
 591,000      Iwatani International Corp   3,672 
25

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 284,533      Jacobs Engineering Group, Inc  $15,476 
 3,228,774   *  Jain Irrigation Systems Ltd   5,124 
 734,318   *  Jaiprakash Associates Ltd   248 
 5,700   e  Jamco Corp   126 
 203,604      Japan Pulp & Paper Co Ltd   770 
 47,100      Japan Steel Works Ltd   740 
 209,514      Jardine Matheson Holdings Ltd   13,450 
 231,900      Jardine Strategic Holdings Ltd   9,667 
 120,301   *  JELD-WEN Holding, Inc   3,905 
 2,872,537      JG Summit Holdings (Series B)   4,611 
 35,081      JGC Corp   571 
 62,037      John Bean Technologies Corp   6,080 
 4,938,400      John Keells Holdings plc   5,758 
 931,880   g  John Laing Group plc   3,678 
 760,779      Johnson Controls International plc   32,987 
 846,375      Johnson Electric Holdings Ltd   2,942 
 1,283,791      JTEKT Corp   18,891 
 32,052      Jungheinrich AG.   1,174 
 2,330      JVM Co Ltd   114 
 80,990      Kadant, Inc   6,090 
 77,822      Kajaria Ceramics Ltd   800 
 1,279,938      Kajima Corp   10,818 
 30,449      Kalpataru Power Transmission Ltd   153 
 174,400   *  Kama Co Ltd   169 
 53,250      Kaman Corp   2,656 
 42,700      Kamei Corp   582 
 93,600      Kanamoto Co Ltd   3,118 
 305,000      Kandenko Co Ltd   3,210 
 354,000      Kanematsu Corp   726 
 1,718,237      KAP Industrial Holdings Ltd   1,068 
 4,403      Kardex AG.   506 
 14,900      Katakura Industries Co Ltd   177 
 94,699      Kato Works Co Ltd   2,666 
 210,480      Kawasaki Heavy Industries Ltd   627 
 482,337      KBR, Inc   7,341 
 6,000      KCC Corp   2,291 
 152,165      KEC International Ltd   606 
 350,146      Keihan Electric Railway Co Ltd   2,228 
 51,660      Keller Group plc   592 
 21,456      Kendrion NV   880 
 804,773      Kennametal, Inc   30,115 
 8,524      KEPCO Engineering & Construction Co, Inc   146 
 1,078,477      Keppel Corp Ltd   4,925 
 95,424   *,e  KEYW Holding Corp, The   892 
 64,973      Kier Group plc   1,038 
 223,000      Kinden Corp   3,600 
 43,000      King Slide Works Co Ltd   604 
 350,909      Kingspan Group plc   12,046 
 85,000      Kinik Co   215 
 47,300      KION Group AG.   3,618 
 58,900      Kitz Corp   551 
 450,532      Kloeckner & Co AG.   4,752 
 156,504   *  KLX, Inc   7,825 
 787,387      KOC Holding AS   3,620 
 25,247      Koenig & Bauer AG.   1,711 
 4,220      Kolon Corp   303 
26

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 490,883      Komatsu Ltd  $12,600 
 2,380      Komax Holding AG.   696 
 77,490      Komori Corp   999 
 150,208      Kone Oyj (Class B)   7,642 
 58,035      Konecranes Oyj   2,457 
 77,593      Koninklijke BAM Groep NV   422 
 792,774      Koninklijke Philips Electronics NV   28,222 
 71,005      Korea Aerospace Industries Ltd   3,537 
 3,679      Korea Electric Terminal Co Ltd   229 
 16,047   *  Kornit Digital Ltd   311 
 141,828   *  Kratos Defense & Security Solutions, Inc   1,684 
 10,545   e  Krones AG.   1,222 
 1,056,000   *,e  KuangChi Science Ltd   375 
 344,558      Kubota Corp   5,824 
 1,061,000      Kumagai Gumi Co Ltd   3,417 
 43,323      Kumho Industrial Co Ltd   454 
 213,000      Kung Long Batteries Industrial Co Ltd   1,134 
 19,598      Kurita Water Industries Ltd   536 
 108,170      Kuroda Electric Co Ltd   2,124 
 44,607      Kushal Tradelink Ltd   120 
 121,300      Kyokuto Kaihatsu Kogyo Co Ltd   1,955 
 122,000      Kyowa Exeo Corp   2,057 
 33,600      Kyudenko Corp   1,204 
 3,974      Kyung Dong Navien Co Ltd   145 
 354,142      L3 Technologies, Inc   59,170 
 2,047      Lakshmi Machine Works Ltd   160 
 634,224      Larsen & Toubro Ltd   16,548 
 13,727   *  Lawson Products, Inc   304 
 36,102   *,e  Layne Christensen Co   317 
 16,281   *  LB Foster Co (Class A)   349 
 50,933      Legrand S.A.   3,559 
 26,611      Lehto Group Oyj   398 
 100,312      Lennox International, Inc   18,421 
 368,615      LG Corp   24,921 
 25,280      LG Hausys Ltd   2,420 
 19,880      LG International Corp   540 
 60,206      Lincoln Electric Holdings, Inc   5,544 
 47,629      Lindab International AB   520 
 20,859   e  Lindsay Corp   1,862 
 4,514      Lion Chemtech Co Ltd   60 
 36,764      LISI   1,749 
 484,165      LIXIL Group Corp   12,136 
 521,105      Lockheed Martin Corp   144,664 
 1,380,000      Lonking Holdings Ltd   432 
 68,446      LS Cable Ltd   4,363 
 10,492      LS Industrial Systems Co Ltd   512 
 100,074      LSI Industries, Inc   906 
 57,190   e  Luceco plc   179 
 172,000   *,e  Luoyang Glass Co Ltd   95 
 33,533   *  Lydall, Inc   1,734 
 38,885      Mabuchi Motor Co Ltd   1,944 
 24,333   e  MacDonald Dettwiler & Associates Ltd   1,266 
 1,394,500      Maeda Corp   15,388 
 12,400      Maeda Kosen Co Ltd   188 
 185,000      Maeda Road Construction Co Ltd   3,694 
27

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 32,074      Magellan Aerospace Corp  $501 
 1,209,322   e  Maire Tecnimont S.p.A   5,627 
 196,748      Makino Milling Machine Co Ltd   1,635 
 35,214     Makita Corp   1,304 
 1,969,600      Malaysian Resources Corp BHD   634 
 23,200      MAN AG.   2,488 
 16,331      Manitou BF S.A.   509 
 252,377      Manitowoc Co, Inc   1,517 
 342,200      Marcopolo S.A.   293 
 1,441,958      Marubeni Corp   9,342 
 2,126,972      Masco Corp   81,272 
 110,320   *  Masonite International Corp   8,329 
 149,808   *  Mastec, Inc   6,764 
 60,000      Max Co Ltd   867 
 793,770      Meggitt plc   4,932 
 146,000      Meidensha Corp   502 
 1,456,521      Melrose Industries plc   4,600 
 92,888   *  Mercury Systems, Inc   3,910 
 164,111   *  Meritor, Inc   2,726 
 7,600   e  METAWATER Co Ltd   208 
 18,427      Metka S.A.   172 
 19,089      Metso Oyj   662 
 71,003      Micron Machinery Co Ltd   2,301 
 172,371   *  Middleby Corp   20,945 
 118,986   *  Milacron Holdings Corp   2,093 
 21,870      Miller Industries, Inc   543 
 533,700      Minebea Co Ltd   8,631 
 556,000   e  Miraito Holdings Corp   6,254 
 189,100      MISUMI Group, Inc   4,334 
 1,840,187      Mitsubishi Corp   38,683 
 720,757      Mitsubishi Electric Corp   10,424 
 1,227,913      Mitsubishi Heavy Industries Ltd   5,056 
 145,900      Mitsubishi Nichiyu Forklift Co Ltd   1,015 
 96,700      Mitsuboshi Belting Co Ltd   1,074 
 2,276,869      Mitsui & Co Ltd   32,595 
 499,000      Mitsui Engineering & Shipbuilding Co Ltd   715 
 104,000      Miura Co Ltd   2,035 
 3,138,230      MMC Corp BHD   1,813 
 44,404   *  Momentum Group AB   430 
 294,151      Monadelphous Group Ltd   3,161 
 100,600   e  MonotaRO Co Ltd   3,251 
 106,833   *  Moog, Inc (Class A)   7,662 
 809,721      Morgan Crucible Co plc   2,992 
 88,900      Mori Seiki Co Ltd   1,472 
 23,700      Morita Holdings Corp   372 
 338,317   e  Mota Engil SGPS S.A.   938 
 640,333   *  MRC Global, Inc   10,578 
 133,025      MSC Industrial Direct Co (Class A)   11,435 
 124,868      MTU Aero Engines Holding AG.   17,642 
 144,650      Mueller Industries, Inc   4,405 
 685,568      Mueller Water Products, Inc (Class A)   8,007 
 265,500      Muhibbah Engineering M BHD   168 
 1,033,804      Murray & Roberts Holdings Ltd   1,033 
 143,266   *  MYR Group, Inc   4,444 
 18,427   e  Nabtesco Corp   537 
 117,332      Nachi-Fujikoshi Corp   669 
28

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 929,705      Nagarjuna Construction Co  $1,254 
 72,200      Nagase & Co Ltd   1,102 
 91,300      Namura Shipbuilding Co Ltd   540 
 335,299      National Central Cooling Co PJSC   191 
 9,679   e  National Presto Industries, Inc   1,070 
 98,135   *  Navistar International Corp   2,574 
 128,272      NCC AB (B Shares)   3,613 
 272,779   *  NCI Building Systems, Inc   4,555 
 4,700      NEC Capital Solutions Ltd   77 
 125,803   *  Neff Corp   2,390 
 69,345      New Flyer Industries, Inc   2,900 
 18,824      Nexans S.A.   1,031 
 48,503   *,e  Nexeo Solutions, Inc   403 
 78,351      NGK Insulators Ltd   1,571 
 238,190   e  Nibe Industrier AB   2,250 
 219,424      Nichias Corp   2,538 
 11,300      Nichiden Corp   394 
 22,600      Nichiha Corp   797 
 79,225      Nidec Corp   8,140 
 3,200   e  Nihon Trim Co Ltd   131 
 52,000      Nippo Corp   1,047 
 23,700      Nippon Densetsu Kogyo Co Ltd   488 
 33,500      Nippon Koei Co Ltd   952 
 110,000      Nippon Road Co Ltd   580 
 396,730   *,e  Nippon Sharyo Ltd   1,014 
 125,700   *  Nippon Sheet Glass Co Ltd   1,042 
 70,345      Nippon Steel Trading Co Ltd   3,379 
 229,100      Nippon Thompson Co Ltd   1,216 
 1,320,000      Nishimatsu Construction Co Ltd   7,010 
 12,500      Nishio Rent All Co Ltd   400 
 83,500      Nisshinbo Industries, Inc   850 
 72,800      Nissin Electric Co Ltd   774 
 13,400      Nitta Corp   418 
 267,000      Nitto Boseki Co Ltd   1,286 
 17,600      Nitto Kogyo Corp   278 
 6,073      Nitto Kohki Co Ltd   139 
 17,932      NKT Holding AS   1,438 
 55,872      NN, Inc   1,534 
 681,580   *,e  Noble Group Ltd   230 
 46,557      Nolato AB (B Shares)   1,749 
 45,743   *,e  Nordex AG.   563 
 169,215      Nordson Corp   20,529 
 6,991      Noritake Co Ltd   239 
 101,000      Noritz Corp   2,008 
 21,303      NORMA Group   1,108 
 874,392      Northrop Grumman Corp   224,465 
 18,757   *  Northwest Pipe Co   305 
 341,104   *  NOW, Inc   5,485 
 492,631      NSK Ltd   6,199 
 2,270,000      NTN Corp   10,563 
 15,605   *  NV5 Holdings, Inc   663 
 3,790,490   e  NWS Holdings Ltd   7,455 
 8,200      Obara Corp   448 
 1,109,170      Obayashi Corp   13,068 
 88,216   e  Obrascon Huarte Lain S.A.   318 
 239,127      OC Oerlikon Corp AG.   3,147 
29

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,550      OHB AG.  $108 
 122,900      Oiles Corp   2,177 
 23,700      Okabe Co Ltd   219 
 104,641      Okuma Holdings, Inc   1,001 
 462,000      Okumura Corp   3,114 
 5,871      Omega Flex, Inc   378 
 49,687   *  Orascom Construction Ltd   323 
 153,591      Orbital ATK, Inc   15,107 
 71,000      Organo Corp   349 
 163,289   *  Orion Marine Group, Inc   1,220 
 48,100   e  OSG Corp   982 
 204,722      Oshkosh Truck Corp   14,101 
 78,300   e  OSJB Holdings Corp   205 
 18,824      Osram Licht AG.   1,503 
 6,909      Otokar Otobus Karoseri Sanayi AS   218 
 97,778   *  Outotec Oyj   673 
 1,803,620      Owens Corning, Inc   120,698 
 525,413      PACCAR, Inc   34,698 
 300,000      Pantaloon Retail India Ltd   148 
 954,650      Parker-Hannifin Corp   152,572 
 31,873   *  Patrick Industries, Inc   2,322 
 651,487      Peab AB (Series B)   7,904 
 129,659      Pentair plc   8,628 
 740,700      Penta-Ocean Construction Co Ltd   4,221 
 42,052      PER Aarsleff A.S.   1,021 
 311,600      PESTECH International Bhd   118 
 24,010      Pfeiffer Vacuum Technology AG.   3,519 
 93,902   *  PGT, Inc   1,202 
 252,604      Philips Lighting NV   9,331 
 10,033      Pinguely-Haulotte   171 
 442,106   *,e  Plug Power, Inc   902 
 153,179   *  Ply Gem Holdings, Inc   2,750 
 53,633      PNC Infratech Ltd   119 
 429,311      Polypipe Group plc   2,138 
 34,769      Ponsse Oy   943 
 9,290      Porr AG.   293 
 17,858      Powell Industries, Inc   571 
 6,431      Preformed Line Products Co   299 
 78,183      Primoris Services Corp   1,950 
 48,958   *,e  Proto Labs, Inc   3,292 
 67,261      Prysmian S.p.A.   1,984 
 1,214,532      PT Adhi Karya Persero Tbk   196 
 1,822,000      PT AKR Corporindo Tbk   892 
 5,000,000      PT Arwana Citramulia Tbk   180 
 1,217,100      PT Asahimas Flat Glass Tbk   553 
 2,803,600   *,m  PT Inovisi Infracom Tbk   25 
 2,116,688      PT Pembangunan Perumahan Tbk   496 
 3,078,600   *  PT Sitara Propertindo Tbk   159 
 2,017,200      PT Surya Semesta Internusa Tbk   97 
 5,103,300      PT Waskita Karya Persero Tbk   887 
 2,189,623      PT Wijaya Karya   362 
 2,849,973      QinetiQ plc   10,040 
 67,442      Quanex Building Products Corp   1,426 
 497,333   *  Quanta Services, Inc   16,372 
 172,800      Raito Kogyo Co Ltd   1,830 
 54,012      Ramirent Oyj   545 
30

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 127,713   *  Randon Participacoes S.A.  $177 
 2,279      Rational AG.   1,215 
 232,394      Raubex Group Ltd   427 
 98,114      Raven Industries, Inc   3,267 
 1,178,397      Raytheon Co   190,288 
 45,767   *  RBC Bearings, Inc   4,657 
 557,917      Rechi Precision Co Ltd   635 
 131,742      Regal-Beloit Corp   10,744 
 560,030   e  Reliance Worldwide Corp Ltd   1,438 
 446,563      Reunert Ltd   2,503 
 24,768      REV Group, Inc   686 
 24,523   *  Revolution Lighting Technologies, Inc   162 
 289,841   e  Rexel S.A.   4,737 
 204,552   *  Rexnord Corp   4,756 
 127,952      Rheinmetall AG.   12,179 
 2,162      Rieter Holding AG.   494 
 393,428      Rockwell Automation, Inc   63,720 
 226,041      Rockwell Collins, Inc   23,752 
 5,734      Rockwool International AS (B Shares)   1,262 
 1,216,620      Rolls-Royce Group plc   14,111 
 670,299      Roper Industries, Inc   155,194 
 580,820      Rotork plc   1,781 
 111,000   *  Run Long Construction Co Ltd   180 
 16,940   *  Rush Enterprises, Inc   617 
 220,597   *  Rush Enterprises, Inc (Class A)   8,202 
 181,395      Russel Metals, Inc   3,631 
 1,256,000      Ryobi Ltd   5,124 
 14,685      S&T Dynamics Co Ltd   126 
 42,987      Saab AB (Class B)   2,125 
 424,810      Sacyr Vallehermoso S.A.   1,128 
 103,556      Sadbhav Engineering Ltd   499 
 217,022      Safran S.A.   19,902 
 545,617      Salfacorp S.A.   617 
 6,589      Sam Yung Trading Co Ltd   113 
 88,688   *  Samsung Engineering Co Ltd   923 
 233,770   *  Samsung Heavy Industries Co Ltd   2,547 
 34,530      Samsung Techwin Co Ltd   1,343 
 93,623      San Shing Fastech Corp   157 
 1,741,509      Sandvik AB   27,419 
 29,400      Sanki Engineering Co Ltd   331 
 50,000      Sanko Gosei Ltd   171 
 16,600   e  Sankyo Tateyama, Inc   254 
 296,000      Sanwa Shutter Corp   3,126 
 746,000   *  Sany Heavy Equipment International   126 
 29,000      Sanyo Denki Co Ltd   298 
 54,042      Schindler Holding AG.   11,458 
 7,123      Schindler Holding AG. (Registered)   1,481 
 33,577   *  Schneider Electric Infrastructure Ltd   66 
 2,454,092      Schneider Electric S.A.   188,596 
 2,237      Schweiter Technologies AG.   2,900 
 335,891      Seibu Holdings, Inc   6,224 
 121,100      Sekisui Jushi Corp   2,226 
 779,283      SembCorp Industries Ltd   1,742 
 504,600   e  SembCorp Marine Ltd   602 
 7,179   e  Semperit AG. Holding   209 
 280,115      Senior plc   856 
31

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 348,162   *,e  Sensata Technologies Holding BV  $14,873 
 13,694   *  Senvion S.A.   216 
 251,486      Seven Network Ltd   2,116 
 13,305      SFS Group AG.   1,510 
 85,782   *,e  SGL Carbon AG.   1,068 
 182,608   *  SGSB Group Co Ltd   177 
 79,100   *  Shanghai Automation Instrumentation Co Ltd   119 
 11,568,000   e  Shanghai Dasheng Agricultural Finance Technology Co Ltd   963 
 252,680      Shanghai Diesel Engine Co Ltd   198 
 3,939,025   *,e  Shanghai Electric Group Co Ltd   1,891 
 208,300      Shanghai Highly Group Co Ltd   158 
 2,050,508      Shanghai Industrial Holdings Ltd   6,066 
 2,032,000      Shanghai Prime Machinery Co Ltd   394 
 216,830      Shapir Engineering and Industry Ltd   688 
 23,000      Shibuya Kogyo Co Ltd   694 
 682,268      Shikun & Binui Ltd   1,771 
 15,900      Shima Seiki Manufacturing Ltd   742 
 233,451      Shimizu Corp   2,481 
 108,000      Shin Zu Shing Co Ltd   343 
 205,590      Shinmaywa Industries Ltd   1,738 
 68,000      Shinnihon Corp   554 
 15,500      SHO-BOND Holdings Co Ltd   783 
 1,280,387      Siemens AG.   176,122 
 114,573      Siemens India Ltd   2,366 
 8,183      SIF Holding NV   176 
 400,021      SIG plc   774 
 3,612,960      Sime Darby BHD   7,996 
 120,114      Simpson Manufacturing Co, Inc   5,250 
 1,820,687      Singapore Technologies Engineering Ltd   4,864 
 11,200      Sinko Industries Ltd   180 
 430,957      Sino Thai Engineering & Construction PCL   352 
 4,239,496      Sinopec Engineering Group Co Ltd   3,819 
 2,159,500      Sinotruk Hong Kong Ltd   1,567 
 27,700      Sintokogio Ltd   288 
 66,965   *,e  SiteOne Landscape Supply, Inc   3,486 
 66,846      SK C&C Co Ltd   16,248 
 120,250      SK Networks Co Ltd   657 
 515,891      Skanska AB (B Shares)   12,250 
 85,582      SKF AB (B Shares)   1,738 
 1,476,800      SKP Resources BHD   450 
 7,220,000      Skyway Securities Group Ltd   379 
 30,133   *,e  SLM Solutions Group AG.   1,328 
 216,320      SM Investments Corp   3,439 
 25,892      SMC Corp   7,915 
 419,633      Smiths Group plc   8,725 
 177,937      Snap-On, Inc   28,114 
 116,849      SNC-Lavalin Group, Inc   5,052 
 99,300      Sodick Co Ltd   1,158 
 3,544,900      Sojitz Holdings Corp   8,726 
 9,082      Solar Holdings AS (B Shares)   527 
 11,976      Somany Ceramics Ltd   143 
 96,243   *  Sparton Corp   2,116 
 84,782      Spirax-Sarco Engineering plc   5,913 
 369,966      Spirit Aerosystems Holdings, Inc (Class A)   21,436 
 345,093   *  SPX Corp   8,683 
32

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 404,068   *  SPX FLOW, Inc  $14,902 
 42,425      Standex International Corp   3,848 
 538,295      Stanley Works   75,754 
 22,000      Star Micronics Co Ltd   358 
 47,770   *,e  Ste Industrielle d’Aviation Latecoere S.A.   228 
 83,432   *  Sterling Construction Co, Inc   1,090 
 9,282      Sulzer AG.   1,052 
 1,601,670      Sumitomo Corp   20,886 
 10,000      Sumitomo Densetsu Co Ltd   145 
 4,083,488      Sumitomo Heavy Industries Ltd   27,096 
 4,502,900      Sumitomo Mitsui Construction C   4,817 
 8,360,000   *  Summit Ascent Holdings Ltd   1,841 
 46,660      Sun Hydraulics Corp   1,991 
 13,405      Sung Kwang Bend Co Ltd   126 
 166,945   *,e  Sunrun, Inc   1,189 
 89,000      Sunspring Metal Corp   130 
 1,835,922      Sunway Construction Group BHD   864 
 153,447      Supreme Industries, Inc   2,524 
 9,374,544   *  Suzlon Energy Ltd   2,716 
 117,648   e  Sweco AB (B Shares)   2,909 
 1,112,000      Syncmold Enterprise Corp   2,583 
 69,200      Tadano Ltd   838 
 5,945   *  Taewoong Co Ltd   140 
 29,047   *  Taeyoung Engineering & Construction   222 
 1,025,000   *  Tai United Holdings Ltd   170 
 83,000      Taihei Dengyo Kaisha Ltd   959 
 31,300      Taikisha Ltd   827 
 788,096      Taisei Corp   7,208 
 781,670   *  Taiwan Glass Industrial Corp   379 
 211,993      Takamatsu Corp   5,166 
 27,164      Takara Standard Co Ltd   445 
 33,600      Takasago Thermal Engineering Co Ltd   547 
 114,200      Takeuchi Manufacturing Co Ltd   2,110 
 93,100      Takuma Co Ltd   937 
 168,228   e,g  Talgo S.A.   1,016 
 109,620      Tarkett S.A.   5,095 
 23,000      Tatsuta Electric Wire and Cable Co Ltd   140 
 346,200   *  Tebrau Teguh BHD   127 
 1,898,679      Teco Electric and Machinery Co Ltd   1,824 
 11,800      Teikoku Sen-I Co Ltd   197 
 108,498      Tekfen Holding AS   269 
 426,000   e  Tekken Corp   1,269 
 76,249   *  Teledyne Technologies, Inc   9,733 
 40,122      Tennant Co   2,961 
 2,745,454      Terex Corp   102,955 
 53,817   e  Textainer Group Holdings Ltd   780 
 3,386,479      Textron, Inc   159,503 
 154,386      Thales S.A.   16,616 
 22,559   *,e  The ExOne Company   258 
 39,269      Thermax Ltd   568 
 63,726   *  Thermon Group Holdings   1,222 
 62,092      THK Co Ltd   1,770 
 64,679      Timken Co   2,991 
 12,976      Timken India Ltd   134 
 98,910      Titan International, Inc   1,188 
33

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 83,156   *  Titan Machinery, Inc  $1,495 
 89,088      TKH Group NV   4,945 
 8,500   *,e  Toa Corp/Tokyo   134 
 30,600      Tocalo Co Ltd   1,009 
 736,000      Toda Corp   4,597 
 70,000   e  Toenec Corp   435 
 355,100   e  Tokai Corp   2,654 
 106,160      Tokyu Construction Co Ltd   870 
 246,197      Toro Co   17,059 
 112,003      Toromont Industries Ltd   4,123 
 836,443   *,e  Toshiba Corp   2,026 
 78,964      Toshiba Machine Co Ltd   355 
 34,400   e  Toshiba Plant Systems & Services Corp   544 
 16,700      Totetsu Kogyo Co Ltd   511 
 52,500      Toto Ltd   2,012 
 84,200      Toyo Construction Co Ltd   332 
 97,000   e  Toyo Engineering Corp   240 
 6,200   e  Toyo Tanso Co Ltd   107 
 221,436      Toyota Tsusho Corp   6,658 
 38,893   *  TPI Composites, Inc   719 
 2,770,134      Trakya Cam Sanayi AS   3,048 
 90,493      TransDigm Group, Inc   24,331 
 1,124,928      Travis Perkins plc   21,325 
 412,351      Trelleborg AB (B Shares)   9,415 
 114,462      Trencor Ltd   324 
 87,593   *  Trex Co, Inc   5,927 
 89,044   *  Trimas Corp   1,857 
 128,296      Trinity Industries, Inc   3,596 
 97,744      Triton International Ltd   3,269 
 574,145      Triumph Group, Inc   18,143 
 61,300      Trusco Nakayama Corp   1,465 
 38,700   e  Tsubaki Nakashima Co Ltd   751 
 411,000      Tsubakimoto Chain Co   3,559 
 35,000      Tsugami Corp   252 
 17,100      Tsukishima Kikai Co Ltd   196 
 10,900      Tsurumi Manufacturing Co Ltd   181 
 1,824,749      Turk Sise ve Cam Fabrikalari AS   2,386 
 9,256      Turk Traktor ve Ziraat Makineleri AS   208 
 119,170   *  Tutor Perini Corp   3,426 
 17,082   *  Twin Disc, Inc   276 
 445,700      UEM Edgenta BHD   274 
 47,015      Ultra Electronics Holdings   1,256 
 5,200   e  Union Tool Co   146 
 459,100      Unique Engineering & Construction PCL   248 
 325,300   e  United Engineers Ltd   647 
 1,703,000      United Integrated Services Co Ltd   3,928 
 216,087   *  United Rentals, Inc   24,355 
 753,740      United Technologies Corp   92,039 
 279,594   *  Univar, Inc   8,164 
 149,271      Universal Forest Products, Inc   13,033 
 39,337      Uponor Oyj   715 
 1,329,423   *,e  USG Corp   38,580 
 415,600      Ushio, Inc   5,246 
 326,196      Valmet Corp   6,338 
 59,396      Valmont Industries, Inc   8,886 
 225,100      Vanachai Group PCL   81 
34

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 12,015      VAT Group AG.  $1,494 
 185,586   *  Vectrus, Inc   5,998 
 29,840   *  Veritiv Corp   1,343 
 221,371      Vestas Wind Systems AS   20,447 
 219,018      Vesuvius plc   1,513 
 81,357      V-Guard Industries Ltd   217 
 35,024   *  Vicor Corp   627 
 1,006,342      Vinci S.A.   85,842 
 1,702,000   *,e  Vision Fame International Holding Ltd   183 
 68,466      Voltas Ltd   484 
 35,995      Voltronic Power Technology Corp   592 
 1,190,049      Volvo AB (B Shares)   20,295 
 7,531   *  Vossloh AG.   484 
 53,058      W.W. Grainger, Inc   9,579 
 117,448   e  Wabash National Corp   2,582 
 261,469   *  WABCO Holdings, Inc   33,340 
 114,130   e  Wabtec Corp   10,443 
 20,131      Wacker Construction Equipment AG.   489 
 39,761      Wajax Income Fund   694 
 24,800      Wakita & Co Ltd   288 
 11,188,000      Walsin Lihwa Corp   4,932 
 2,223      Walter Meier AG.   100 
 90,659      Wartsila Oyj (B Shares)   5,361 
 66,088      Watsco, Inc   10,191 
 55,682      Watts Water Technologies, Inc (Class A)   3,519 
 1,780,336      WCT Berhad   854 
 525,918      Weg S.A.   2,810 
 8,222,284      Weichai Power Co Ltd   7,185 
 873,394      Weir Group plc   19,712 
 1,247,228   *  Welbilt, Inc   23,510 
 4,136,000      Welling Holding Ltd   943 
 108,530   *  Wesco Aircraft Holdings, Inc   1,178 
 42,394   *  WESCO International, Inc   2,429 
 7,133   *  Willis Lease Finance Corp   191 
 38,965      Wilson Bayly Holmes-Ovcon Ltd   417 
 410,309      Wolseley plc   25,184 
 106,581      Woodward Governor Co   7,203 
 149,066   e  WSP Global, Inc   6,185 
 86,112      Xxentria Technology Materials Corp   200 
 183,277      Xylem, Inc   10,159 
 26,800      Yahagi Construction Co Ltd   219 
 25,500      YAMABIKO Corp   276 
 41,700      Yamazen Corp   424 
 8,410,918      Yangzijiang Shipbuilding   7,268 
 240,000   *  Yat Sing Holdings Ltd   107 
 23,149      Yazicilar Holding AS   150 
 83,085   e  YIT Oyj   695 
 93,000      Yokogawa Bridge Holdings Corp   1,289 
 35,000      Yuasa Trading Co Ltd   1,064 
 802,000      Yungtay Engineering Co Ltd   1,366 
 151,000      Yurtec Corp   1,032 
 4,900   e  Yushin Precision Equipment Co Ltd   121 
 138,456      Zardoya Otis S.A.   1,434 
 6,511      Zehnder Group AG.   237 
 164,400      Zhengzhou Coal Mining Machinery Group Co Ltd   84 
 555,241      Zhuzhou CSR Times Electric Co Ltd   2,723 
35

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 134,755      Zodiac S.A.  $3,661 
 19,898      Zumtobel AG.   370 
        TOTAL CAPITAL GOODS   9,691,438 
                
COMMERCIAL & PROFESSIONAL SERVICES - 1.0%        
 45,800   *,e  51job, Inc (ADR)   2,049 
 126,031      ABM Industries, Inc   5,233 
 275,414   *  Acacia Research (Acacia Technologies)   1,129 
 286,809   *  ACCO Brands Corp   3,341 
 470,337      Adecco S.A.   35,831 
 230,214   *  Advanced Disposal Services, Inc   5,233 
 79,849   *  Advisory Board Co   4,112 
 13,800      Aeon Delight Co Ltd   447 
 118,115      AF AB   2,444 
 172,583   e  Aggreko plc   2,067 
 632,727      ALS Ltd   3,622 
 10,916      Amadeus Fire AG   959 
 124,827      American Banknote S.A.   558 
 86,950      Applus Services S.A.   1,097 
 32,223   *,e  Aqua Metals, Inc   404 
 177,061   *  ARC Document Solutions, Inc   737 
 15,402      Assystem   545 
 274,430      Atkins WS plc   7,438 
 250,761      Babcock International Group   2,876 
 14,052      Barrett Business Services, Inc   805 
 376,000   *  Beijing Development HK Ltd   58 
 25,500      Bell System24 Holdings, Inc   262 
 11,100      Benefit One, Inc   444 
 4,048   e  Bertrandt AG.   406 
 12,578      BG Staffing, Inc   219 
 280,640   *  Biffa plc   808 
 131,272   e  Bilfinger Berger AG.   5,153 
 310,529      Blue Label Telecoms Ltd   355 
 152,477      Brady Corp (Class A)   5,169 
 1,722,951      Brambles Ltd   12,884 
 156,459      Bravida Holding AB   1,143 
 134,763      Brink’s Co   9,029 
 14,354   e  Brunel International NV   200 
 230,167      Bureau Veritas S.A.   5,095 
 64,394      Cabcharge Australia Ltd   125 
 87,873      Cape plc   215 
 592,505      Capita Group plc   5,339 
 4,062,000   *,e  Capital Environment Holdings Ltd   128 
 250,068   *  Casella Waste Systems, Inc (Class A)   4,104 
 62,591   e  Caverion Corp   501 
 382,951   *  CBIZ, Inc   5,744 
 212,975      Ceco Environmental Corp   1,955 
 19,479      Cewe Color Holding AG.   1,644 
 2,445,951      China Everbright International Ltd   3,051 
 532,000   e  China Greenland Broad Greenstate Group Co Ltd   125 
 179,008      Cintas Corp   22,562 
 132,458   *  Clean Harbors, Inc   7,395 
 57,000      Cleanaway Co Ltd   340 
 2,599,404      Cleanaway Waste Management Ltd   2,747 
 38,998   *,e  Cogint, Inc   197 
36

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,117      Compx International, Inc  $48 
 999,728   *  Copart, Inc   31,781 
 299,094   e  Covanta Holding Corp   3,948 
 42,200      CRA International, Inc   1,533 
 163,611      Dai Nippon Printing Co Ltd   1,823 
 25,700      Daiseki Co Ltd   572 
 115,282      Davis Service Group plc   1,848 
 105,878      De La Rue plc   921 
 96,181      Deluxe Corp   6,658 
 52,501      Derichebourg   444 
 1,925,085      Downer EDI Ltd   9,483 
 97,859      Dun & Bradstreet Corp   10,583 
 120,798      Duskin Co Ltd   3,110 
 360,271   *,m  Dyax Corp   400 
 1,030,000   e  Dynagreen Environmental Protection Group Co Ltd   536 
 1,352,274   e  Edenred   35,274 
 40,001      Elanders AB   542 
 78,655   e  Elis S.A.   1,802 
 63,044   *,e  Eltel AB (BTA)   219 
 15,600      en-japan, Inc   406 
 67,369      Ennis, Inc   1,287 
 97,077      Essendant, Inc   1,440 
 1,358,165      Experian Group Ltd   27,873 
 50,643      Exponent, Inc   2,952 
 11,287   e  Fila S.p.A   236 
 20,692   *  Franklin Covey Co   399 
 81,998   *  FTI Consulting, Inc   2,867 
 16,400      Funai Soken Holdings, Inc   418 
 15,463,000   *,m  Fung Choi Media Group Ltd   112 
 19,800      GL Events   559 
 24,470   *  GP Strategies Corp   646 
 458,000      Greentown Service Group Co Ltd   251 
 2,893,716      Group 4 Securicor plc   12,307 
 6,433      Groupe CRIT   599 
 25,019      Gunnebo AB   138 
 6,132,422      Hays plc   13,259 
 140,683      Healthcare Services Group   6,588 
 61,517      Heidrick & Struggles International, Inc   1,338 
 42,668   *  Heritage-Crystal Clean, Inc   678 
 118,168      Herman Miller, Inc   3,592 
 65,460   *  Hill International, Inc   340 
 87,509      HNI Corp   3,489 
 474,396      HomeServe plc   4,544 
 72,305   *,e  Hudson Technologies, Inc   611 
 66,181   *  Huron Consulting Group, Inc   2,859 
 53,267   *  ICF International, Inc   2,509 
 870,616   *  IHS Markit Ltd   38,342 
 3,032   *  Indiabulls Wholesale Service   2 
 88,478   *  Innerworkings, Inc   1,026 
 149,151      Insperity, Inc   10,590 
 310,553      Interface, Inc   6,102 
 93,674      Interserve plc   282 
 205,730      Intertek Group plc   11,302 
 35,937   e,g  Intertrust NV   729 
 232,916   *,e  Intrum Justitia AB   7,910 
 70,458      IPH Ltd   260 
37

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 253,175      ISS A.S.  $9,945 
 26,503   e  ITAB Shop Concept AB   236 
 106,300      Itoki Corp   912 
 1,181,986      IWG plc   4,983 
 10,400      JAC Recruitment Co Ltd   157 
 2,102      Kaba Holding AG.   1,829 
 424,755      KAR Auction Services, Inc   17,827 
 30,000      KD Holding Corp   175 
 58,931      Kelly Services, Inc (Class A)   1,323 
 23,383      KEPCO Plant Service & Engineering Co Ltd   903 
 178,806      Kforce, Inc   3,505 
 297,373      Kimball International, Inc (Class B)   4,963 
 93,983      Knoll, Inc   1,884 
 239,300      Kokuyo Co Ltd   3,269 
 101,338      Korn/Ferry International   3,499 
 165,000      Kyodo Printing Co Ltd   562 
 24,100   *,e  Link And Motivation, Inc   173 
 162,476      Loomis AB   5,824 
 66,206      LSC Communications, Inc   1,417 
 355,756      Manpower, Inc   39,720 
 24,962      Matsuda Sangyo Co Ltd   330 
 62,404      Matthews International Corp (Class A)   3,822 
 49,651      McGrath RentCorp   1,719 
 88,749      McMillan Shakespeare Ltd   914 
 230,631   *,m  Media General, Inc   113 
 36,900      Meitec Corp   1,574 
 1,194,986      Michael Page International plc   7,417 
 70,903   *  Mistras Group, Inc   1,558 
 240,337   e  Mitie Group   866 
 25,544      Mitsubishi Pencil Co Ltd   721 
 104,637      Mobile Mini, Inc   3,123 
 49,875      Morneau Sobeco Income Fund   802 
 28,400      Moshi Moshi Hotline, Inc   309 
 144,388      MSA Safety, Inc   11,720 
 26,613      Multi-Color Corp   2,172 
 136,639   *  Navigant Consulting, Inc   2,700 
 504,621      Nielsen NV   19,509 
 127,000      Nihon M&A Center, Inc   4,649 
 11,600      Nippon Kanzai Co Ltd   206 
 125,200   e  Nippon Parking Development Co Ltd   182 
 34,449   *  NL Industries, Inc   243 
 77,400      Nomura Co Ltd   1,768 
 146,800      Okamura Corp   1,396 
 214,851   *  On Assignment, Inc   11,634 
 31,523   e  Outsourcing, Inc   1,539 
 39,120      Oyo Corp   550 
 81,800      Park24 Co Ltd   2,082 
 21,510   *  Pendrell Corp   156 
 25,000      Pilot Corp   1,065 
 457,976      Pitney Bowes, Inc   6,915 
 32,800      Prestige International, Inc   354 
 175,285      Programmed Maintenance Services Ltd   251 
 568,948      Prosegur Cia de Seguridad S.A.   3,700 
 159,357      Quad Graphics, Inc   3,652 
 316,912      Randstad Holdings NV   18,476 
 314,000   *,e  Realord Group Holdings Ltd   176 
38

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,761,777      Recruit Holdings Co Ltd  $30,320 
 2,716,574      Rentokil Initial plc   9,667 
 648,461      Republic Services, Inc   41,326 
 56,661      Resources Connection, Inc   776 
 78,310      Restore plc   464 
 85,449      Ritchie Bros Auctioneers, Inc   2,455 
 391,000   e  Riverstone Holdings Ltd   285 
 395,894      Robert Half International, Inc   18,975 
 208,647      Rollins, Inc   8,494 
 159,173      RPS Group plc   543 
 382,441   *  RPX Corp   5,335 
 379,155      RR Donnelley & Sons Co   4,755 
 20,177      S1 Corp (Korea)   1,711 
 18,752      Sato Corp   471 
 187,054      Secom Co Ltd   14,232 
 245,643      Securitas AB (B Shares)   4,143 
 485,066      Seek Ltd   6,304 
 734,627   *  Serco Group plc   1,099 
 261,751      SG Fleet Group Ltd   765 
 5,233      SGS S.A.   12,688 
 100,500   *,m  Shanghai Youngsun Investment C   156 
 274,100   *,m  Shanghai Zhongyida Co Ltd   122 
 757,250      Shanks Group plc   816 
 159,225      Shenzhen Dongjiang Environmental Co Ltd   253 
 54,397      SmartGroup Corp Ltd   300 
 34,434      Societe BIC S.A.   4,089 
 49,800      Sohgo Security Services Co Ltd   2,248 
 89,430   *  SP Plus Corp   2,732 
 65,415      SPIE S.A.   1,965 
 52,783      Sporton International, Inc   267 
 2,451,991      Spotless Group Holdings Ltd   2,166 
 13,879      Staffline Group plc   239 
 76,278   e  Stantec, Inc   1,920 
 168,599      Steelcase, Inc (Class A)   2,360 
 242,809   *  Stericycle, Inc   18,531 
 36,000      Sunny Friend Environmental Technology Co Ltd   186 
 8,309      Synergie S.A   409 
 218,660      Taiwan Secom Co Ltd   659 
 106,020      Taiwan-Sogo Shinkong Security Corp   138 
 90,000   e  Takeei Corp   869 
 22,100      Tanseisha Co Ltd   236 
 56,933   *  Team, Inc   1,335 
 22,900      TechnoPro Holdings, Inc   922 
 57,405   *  Teleperformance   7,361 
 182,588      Temp Holdings Co Ltd   3,431 
 208,027      Tetra Tech, Inc   9,517 
 248,000      Tianjin Capital Environmental Protection Group Co Ltd   164 
 34,200      Toppan Forms Co Ltd   354 
 410,669      Toppan Printing Co Ltd   4,516 
 22,000   e  Tosho Printing Co Ltd   100 
 111,938   m  Towers Watson & Co   16,283 
 131,614   e  Tox Free Solutions Ltd   243 
 271,687   e  Transcontinental, Inc   5,384 
 294,997   *  TransUnion   12,776 
 337,075   *  TriNet Group, Inc   11,036 
 293,017   *  TrueBlue, Inc   7,765 
39

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 30,208      Unifirst Corp  $4,250 
 42,874      US Ecology, Inc   2,165 
 312,011   *  Verisk Analytics, Inc   26,324 
 39,592      Viad Corp   1,871 
 17,617      VSE Corp   792 
 100,366   *  WageWorks, Inc   6,745 
 18      Waste Connections, Inc   1 
 1,633,098      Waste Management, Inc   119,788 
 152,101      West Corp   3,547 
 14,841   *  Willdan Group, Inc   453 
 301,709      Wolters Kluwer NV   12,760 
 26,800   e  Yumeshin Holdings Co Ltd   178 
 31,400   *,e  Zhaopin Ltd (ADR)   582 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES   1,146,272 
                
CONSUMER DURABLES & APPAREL - 2.0%        
 499,000      361 Degrees International Ltd   183 
 41,248   *  Accell Group NV   1,351 
 45,351   e  Acushnet Holdings Corp   900 
 235,049      Adidas-Salomon AG.   45,070 
 33,654      Aksa Akrilik Kimya Sanayii   128 
 312,900      Alpargatas S.A.   1,295 
 30,400      Alpine Electronics, Inc   456 
 471,440      Amer Sports Oyj (A Shares)   11,792 
 110,748   *,e  American Outdoor Brands Corp   2,454 
 361,157      AmTRAN Technology Co Ltd   249 
 1,163,235      Anta Sports Products Ltd   3,843 
 212,409      Arcelik AS   1,573 
 33,800      Arezzo Industria e Comercio S.A.   334 
 35,682   *  Aritzia, Inc   413 
 95,916      Arvind Ltd   533 
 111,738      Asics Corp   2,077 
 19,748      Bajaj Electricals Ltd   100 
 28,519   *  Bang & Olufsen AS (B Shares)   477 
 1,745,802      Barratt Developments plc   12,822 
 20,028      Bassett Furniture Industries, Inc   760 
 78,000      Basso Industry Corp   218 
 23,586      Bata India Ltd   196 
 371,449   *  Beazer Homes USA, Inc   5,096 
 10,649,293      Belle International Holdings Ltd   8,394 
 367,057      Bellway plc   14,244 
 66,997      Beneteau S.A.   1,159 
 217,215      Berkeley Group Holdings plc   9,134 
 622,000      Best Pacific International Holdings Ltd   557 
 40,288   *  Black Diamond, Inc   268 
 122,919   *  Bonava AB   2,102 
 992,000      Bosideng International Holdings Ltd   85 
 89,758      Bovis Homes Group plc   1,117 
 242,617      Breville Group Ltd   1,948 
 75,059      BRP, Inc   2,199 
 66,767      Brunello Cucinelli S.p.A   1,754 
 55,621      Brunswick Corp   3,489 
 179,918      Burberry Group plc   3,893 
 1,805,000   *  C.banner International Holdings Ltd   740 
 6,453,512   *  Cairn Homes plc   11,093 
 155,930      CalAtlantic Group, Inc   5,512 
40

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,129,791      Callaway Golf Co  $14,439 
 136,309      Carter’s, Inc   12,125 
 165,815      Casio Computer Co Ltd   2,556 
 41,207   *  Cavco Industries, Inc   5,342 
 25,878      CCC S.A.   1,570 
 34,044   *  Century Communities, Inc   844 
 14,214      Chargeurs S.A.   391 
 3,185,400      China Dongxiang Group Co   567 
 953,000      China Lilang Ltd   634 
 1,131,000   *,m  China Longevity Group Co Ltd   1 
 12,800      Chofu Seisakusho Co Ltd   306 
 67,625   e  Christian Dior S.A.   19,336 
 850,107      Cie Financiere Richemont S.A.   70,345 
 1,014,000   e  Citychamp Watch & Jewellery Group Ltd   220 
 93,000      Clarion Co Ltd   355 
 34,800      Cleanup Corp   268 
 1,026,798      Coach, Inc   48,609 
 57,436      Columbia Sportswear Co   3,335 
 1,321,500      Consorcio ARA, S.A. de C.V.   441 
 7,900      Corona Corp   80 
 424,000   e,g  Cosmo Lady China Holdings Co Ltd   172 
 185,651      Countryside Properties plc   825 
 883,137      Crest Nicholson Holdings plc   6,021 
 221,826   *  CROCS, Inc   1,710 
 440,907   *  Crompton Greaves Consumer Electricals Ltd   1,544 
 23,160      CSS Industries, Inc   606 
 1,713      Cuckoo Electronics Co Ltd   217 
 21,001      Culp, Inc   683 
 3,592,600      Cyrela Brazil Realty S.A.   11,885 
 119,964   *  Deckers Outdoor Corp   8,189 
 53,542      De’Longhi S.p.A.   1,680 
 14,071   *,e  Delta Apparel, Inc   312 
 5,624      Delta-Galil Industries Ltd   166 
 31,090      Descente Ltd   421 
 427,240      DFS Furniture plc   1,144 
 450,000      Direcional Engenharia S.A.   700 
 19,413      Dorel Industries, Inc (Class B)   516 
 1,587,123      DR Horton, Inc   54,867 
 27,260      Duni AB   399 
 202,793      Eclat Textile Co Ltd   2,467 
 947,531      Electrolux AB (Series B)   31,071 
 21,582      Escalade, Inc   283 
 48,383      Ethan Allen Interiors, Inc   1,563 
 100,100      Even Construtora e Incorporadora S.A.   119 
 44,435      Ez Tec Empreendimentos e Participacoes S.A.   238 
 359,672      Feng TAY Enterprise Co Ltd   1,589 
 9,400   e  Fields Corp   101 
 7,140      Fila Korea Ltd   534 
 15,142      Flexsteel Industries, Inc   819 
 909      Forbo Holding AG.   1,495 
 1,888,852      Formosa Taffeta Co Ltd   1,896 
 204,777      Forus S.A.   708 
 83,028   *,e  Fossil Group, Inc   859 
 15,591      Foster Electric Co Ltd   270 
 45,900      France Bed Holdings Co Ltd   408 
 339,999   *,e,m  Fuguiniao Co Ltd    0^
41

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 61,400      Fujibo Holdings Inc  $1,725 
 40,100      Fujitsu General Ltd   930 
 12,800   e  Funai Electric Co Ltd   103 
 216,740      Garmin Ltd   11,060 
 53,241   e  Geox S.p.A.   175 
 18,321   e  Gerry Weber International AG.   211 
 296,439      Giant Manufacturing Co Ltd   1,694 
 84,950   *  G-III Apparel Group Ltd   2,119 
 360,608      Gildan Activewear, Inc   11,081 
 13,948,000   *  Global Brands Group Holding Ltd   1,463 
 3,800      Goldwin, Inc   233 
 621,000   e  Goodbaby International Holding   257 
 212,828   *,e  GoPro, Inc   1,730 
 47,676   *  Green Brick Partners, Inc   546 
 5,500      Guararapes Confeccoes S.A.   157 
 61,040      GUD Holdings Ltd   606 
 1,022,000      Gunze Ltd   3,669 
 1,321,944      Haier Electronics Group Co Ltd   3,437 
 10,218      Handsome Co Ltd   292 
 969,874   e  Hanesbrands, Inc   22,462 
 96,137   e  Hansae Co Ltd   2,255 
 32,954      Hansae Yes24 Holdings Co Ltd   300 
 11,184      Hanssem Co Ltd   1,799 
 343,998      Hasbro, Inc   38,359 
 478,500      Haseko Corp   5,827 
 697,648      Hefei Meiling Co Ltd   412 
 199,500      Heiwa Corp   4,454 
 95,554   *  Helen of Troy Ltd   8,992 
 15,368,000   *,e  HengTen Networks Group Ltd   216 
 20,859      Hermes International   10,304 
 21,198      Himatsingka Seide Ltd   112 
 269,000      Hisense Kelon Electrical Holdings Co Ltd   458 
 5,039      Hitachi Home & Life Solutions India Ltd   156 
 19,548   *,e  HLB, Inc   256 
 62,123      Hooker Furniture Corp   2,556 
 504,000   e  Hosa International Ltd   157 
 994,593   *  Hovnanian Enterprises, Inc (Class A)   2,785 
 228,691   e  HS Industries Co Ltd   1,897 
 11,758   e  Hugo Boss AG.   824 
 338,690      Husqvarna AB (B Shares)   3,367 
 8,168      Hwaseung Enterprise Co Ltd   126 
 19,402      Hyundai Livart Furniture Co Ltd   404 
 5,264   e  IC Companys AS   113 
 99,320   *  Iconix Brand Group, Inc   686 
 281,025      Iida Group Holdings Co Ltd   4,691 
 988      Ilshin Spinning Co Ltd   103 
 37,911      Indo Count Industries Ltd   98 
 66,024   *  Installed Building Products Inc   3,496 
 117,842   *,e  iRobot Corp   9,915 
 37,700      Japan Wool Textile Co Ltd   315 
 32,594   *,e  Jayjun Cosmetic Co Ltd   182 
 80,091   *  Jimmy Choo plc   217 
 132,499   *  Jinshan Development & Construction Co Ltd   127 
 350,716      JM AB   12,426 
 73,430      Johnson Health Tech Co Ltd   92 
 9,686      Johnson Outdoors, Inc   467 
42

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 94,000      JVC KENWOOD Holdings, Inc  $281 
 284,452   *  Kate Spade & Co   5,259 
 9,605      Kaufman & Broad S.A.   428 
 166,216   e  KB Home   3,984 
 2,709,000      Kinpo Electronics   1,006 
 62,244      KMC Kuei Meng International In   303 
 504,900   *  Konka Group Co Ltd   184 
 14,936      KPR Mill Ltd   186 
 323,000      Kurabo Industries Ltd   745 
 6,014      Kyungbang Ltd   82 
 11,257      LA Opala RG Ltd   89 
 651,104      Lao Feng Xiang Co Ltd   2,617 
 344,057      La-Z-Boy, Inc   11,182 
 776      Lealea Enterprise Co Ltd    0^
 434,564      Leggett & Platt, Inc   22,828 
 21,119      Lennar Corp (B Shares)   950 
 455,134      Lennar Corp (Class A)   24,268 
 198,934      LG Electronics, Inc   13,956 
 55,362      LG Fashion Corp   1,451 
 34,342   *,e  LGI Homes, Inc   1,380 
 41,600      Li Cheng Enterprise Co Ltd   125 
 1,140,020   *  Li Ning Co Ltd   867 
 167,965   *  Li Peng Enterprise Co Ltd   46 
 135,413      Libbey, Inc   1,091 
 38,322      Lifetime Brands, Inc   696 
 1,456,000      Lisi Group Holdings Ltd   116 
 1,250      LPP S.A.   2,412 
 362,361   *  Lululemon Athletica, Inc   21,622 
 687,950      Luthai Textile Co Ltd   755 
 132,103      Luxottica Group S.p.A.   7,689 
 480,437      LVMH Moet Hennessy Louis Vuitton S.A.   120,136 
 156,805   *  M/I Homes, Inc   4,477 
 131,735      Makalot Industrial Co Ltd   636 
 43,935   *  Malibu Boats Inc   1,137 
 4,616,400      Man Wah Holdings Ltd   4,144 
 6,442   *,m  Mariella Burani S.p.A.   0 
 16,084      Marine Products Corp   251 
 20,100      Mars Engineering Corp   442 
 776,166      Matsushita Electric Industrial Co Ltd   10,575 
 4,722,092   n  Mattel, Inc   101,667 
 321,600      MC Group PCL   173 
 119,313      MCBC Holdings, Inc   2,333 
 343,281      McCarthy & Stone plc   736 
 81,362      MDC Holdings, Inc   2,875 
 211,084      Merida Industry Co Ltd   1,130 
 76,054   *  Meritage Homes Corp   3,209 
 599,917   *  Michael Kors Holdings Ltd   21,747 
 42,900      Misawa Homes Co Ltd   386 
 61,000      Mitsui Home Co Ltd   402 
 63,000      Mizuno Corp   359 
 386,587   *  Mohawk Industries, Inc   93,434 
 1,156,437      Moncler S.p.A   27,128 
 29,190      Movado Group, Inc   737 
 1,273,965      MRV Engenharia e Participacoes S.A.   5,199 
 8,021      Nacco Industries, Inc (Class A)   568 
 255,235      Namco Bandai Holdings, Inc   8,721 
43

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 34,000      Nan Liu Enterprise Co Ltd  $172 
 60,965   *  Nautilus, Inc   1,167 
 39,649   *  New Home Co Inc   455 
 110,992      New Wave Group AB (B Shares)   749 
 1,340,318      Newell Rubbermaid, Inc   71,868 
 455,129      Nien Hsing Textile Co Ltd   362 
 155,000      Nien Made Enterprise Co Ltd   1,719 
 3,787,572      Nike, Inc (Class B)   223,467 
 57,924      Nikon Corp   928 
 76,086      Nobia AB   769 
 33,857   *  NVR, Inc   81,616 
 583,531      Onward Kashiyama Co Ltd   4,316 
 885,466      Oriental Weavers   882 
 991,859   g  OVS S.p.A   7,062 
 32,368      Oxford Industries, Inc   2,023 
 357,000   *,e,g  Ozner Water International Holding Ltd   74 
 663,778      Pacific Textile Holdings Ltd   766 
 7,924      Page Industries Ltd   2,052 
 65,000      PanaHome Corp   693 
 41,489      Pandora AS   3,872 
 402,000   *,m  Peace Mark Holdings Ltd   0 
 11,863      Pegas Nonwovens S.A.   476 
 56,891   *  Perry Ellis International, Inc   1,107 
 464,096      Persimmon plc   13,555 
 244,240   *  Peter England Fashions and Retail Ltd   654 
 401,106      Phillips-Van Heusen Corp   45,927 
 187,161      Photo-Me International PLC   403 
 20,656   *,m  PIK Group (GDR)   104 
 215,700   *  Pioneer Corp   433 
 81,048,570      Playmates Holdings Ltd   11,938 
 44,037   e  Polaris Industries, Inc   4,062 
 121,314      Pool Corp   14,263 
 6,528,341      Pou Chen Corp   9,028 
 11,669,300      Prada S.p.A   43,387 
 27,400      Pressance Corp   362 
 123,422,100      PT Sri Rejeki Isman Tbk   2,960 
 1,492,360      Pulte Homes, Inc   36,608 
 243,000   e  Q Technology Group Co Ltd   240 
 176,457      Rajesh Exports Ltd   1,882 
 141,631      Ralph Lauren Corp   10,452 
 68,954      Raymond Ltd   772 
 1,534,642      Redrow plc   10,933 
 283,000   e,g  Regina Miracle International Holdings Ltd   245 
 25,397      Rinnai Corp   2,373 
 490,956      Ruentex Industries Ltd   732 
 21,723   *,e  Safilo Group S.p.A.   161 
 62,874   e  Salvatore Ferragamo Italia S.p.A   1,679 
 667,000      Sampo Corp   386 
 38,800      Sangetsu Co Ltd   675 
 70,221      Sankyo Co Ltd   2,385 
 17,031      SEB S.A.   3,057 
 137,717      Sega Sammy Holdings, Inc   1,857 
 105,000   e  Seiko Holdings Corp   430 
 919,730      Seiren Co Ltd   14,510 
 525,753      Sekisui Chemical Co Ltd   9,434 
 1,405,809      Sekisui House Ltd   24,846 
44

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 78,339   *  Sequential Brands Group, Inc  $313 
 320,000      Shanghai Haixin Group Co   207 
 72,300      Shanghai Kai Kai Industrial Co Ltd   72 
 518,929   *,e  Sharp Corp   1,924 
 171,500   *  Shenzhen China Bicycle Co Holdings Ltd   72 
 614,124      Shenzhou International Group Holdings Ltd   4,038 
 24,945      Shimano, Inc   3,961 
 839,254      Sintex Industries Ltd   312 
 7,152      Sioen Industries NV   231 
 586,519   *  Skechers U.S.A., Inc (Class A)   17,302 
 1,396,867      Skyworth Digital Holdings Ltd   867 
 47,704   *  SodaStream International Ltd   2,553 
 6,111,115      Sony Corp   233,101 
 192,658      Sony Corp (ADR)   7,358 
 701,030   *,g  Spin Master Corp   20,921 
 10,842      SRF Ltd   258 
 6,900   e  SRI Sports Ltd   69 
 86,600      Starts Corp, Inc   2,063 
 4,393,998      Steinhoff International Holdings NV   22,515 
 894,982      Steinhoff International Holdings NV (GR)   4,570 
 242,540   *  Steven Madden Ltd   9,689 
 60,986   e  Sturm Ruger & Co, Inc   3,790 
 402,654      Sumitomo Forestry Co Ltd   6,343 
 16,376   e  Superior Uniform Group, Inc   366 
 14,966      Surteco SE   406 
 21,209      Swatch Group AG.   7,844 
 290,381      Swatch Group AG. (Registered)   21,213 
 13,072      Symphony Ltd   275 
 795,602      Tainan Spinning Co Ltd   341 
 181,600      Taiwan Paiho Ltd   683 
 10,900   e  Tamron Co Ltd   189 
 1,330,298   *  Tatung Co Ltd   575 
 403,835   *  Taylor Morrison Home Corp   9,696 
 4,678,145      Taylor Wimpey plc   10,743 
 222,000   *,e  TCL Multimedia Technology Holdings Ltd   104 
 155,119      Technogym S.p.A   1,194 
 1,031,000      Techtronic Industries Co   4,737 
 20,436      Ted Baker plc   636 
 51,769      Telford Homes plc   263 
 570,007   *,e  Tempur Sealy International, Inc   30,433 
 1,446,000      Texhong Textile Group Ltd   1,798 
 502,000      Texwinca Holdings Ltd   305 
 254,553      Thomson   1,109 
 78,866   g  Thule Group AB   1,481 
 442,531      Titan Industries Ltd   3,589 
 7,068   e  Tod’s S.p.A.   441 
 30,390      Token Corp   3,741 
 362,220      Toll Brothers, Inc   14,311 
 90,568   *  TomTom NV   867 
 58,068      Tomy Co Ltd   693 
 142,491   *  TopBuild Corp   7,562 
 52,000      Topkey Corp   182 
 68,000      Toung Loong Textile Manufacturing   212 
 310,825   *  TRI Pointe Homes, Inc   4,100 
 14,728      Trigano S.A.   1,755 
 231,386      TSI Holdings Co Ltd   1,668 
45

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 169,703      Tsutsumi Jewelry Co Ltd  $3,239 
 2,170      TTK Prestige Ltd   222 
 225,927      Tupperware Corp   15,867 
 17,562   *  UCP, Inc (Class A)   192 
 342,206   *,e  Under Armour, Inc   6,899 
 374,417   *,e  Under Armour, Inc (Class A)   8,147 
 30,699   *  Unifi, Inc   946 
 826,000   *  Unitika Ltd   610 
 27,613   *  Universal Electronics, Inc   1,846 
 54,500   e  Universal Entertainment Corp   1,668 
 4,526      VAN DE Velde   242 
 25,324      Vardhman Textiles Ltd   447 
 63,256   *  Vera Bradley, Inc   619 
 70,879   *  Vestel Elektronik Sanayi   138 
 666,843      VF Corp   38,410 
 42,096   *  Victoria plc   277 
 67,197   *  Videocon Industries Ltd   22 
 112,725   *  Vista Outdoor, Inc   2,537 
 118,627      Wacoal Holdings Corp   1,606 
 377,500   m  Weiqiao Textile Co   135 
 552,995      Welspun India Ltd   707 
 12,839      Weyco Group, Inc   358 
 203,366      Whirlpool Corp   38,969 
 36,031   *  Whirlpool of India Ltd   634 
 47,326   *  William Lyon Homes, Inc   1,142 
 339,337      Wolverine World Wide, Inc   9,505 
 55,620      Woongjin Coway Co Ltd   5,055 
 181,731      Wuxi Little Swan Co Ltd   812 
 3,419,500   e  XTEP International Holdings   1,319 
 142,550      Yamaha Corp   4,935 
 47,000   e  Yondoshi Holdings, Inc   1,172 
 34,400   e  Yonex Co Ltd   311 
 15,971      Youngone Corp   476 
 8,297      Youngone Holdings Co Ltd   435 
 900,407      Yue Yuen Industrial Holdings   3,734 
 604,000   *,e  Yuxing InfoTech Investment Holdings Ltd   78 
 72,107   *  Zagg, Inc   624 
 141,764      Zeng Hsing Industrial Co Ltd   676 
 60,100      Zhonglu Co Ltd   70 
 29,900   e  Zojirushi Corp   341 
        TOTAL CONSUMER DURABLES & APPAREL   2,509,134 
                
CONSUMER SERVICES - 2.3%        
 15,400   *,e  500.com Ltd (ADR)   168 
 614,142      888 Holdings plc   2,042 
 406,770      AA plc   1,209 
 18,313   *  AcadeMedia AB   123 
 3,975,731      Accor S.A.   186,498 
 15,101,900      Accordia Golf Trust   7,843 
 122,778   *  Adtalem Global Education, Inc   4,659 
 702,021      Advtech Ltd   958 
 4,700      Aeon Fantasy Co Ltd   135 
 163,766   e  Ainsworth Game Technology Ltd   272 
 1,071,000      Ajisen China Holdings Ltd   433 
 1,228,302      Alsea SAB de C.V.   4,649 
 153,760   *  Amaya, Inc   2,748 
46

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 98,000      Ambassador Hotel  $76 
 31,205   *  American Public Education, Inc   738 
 1,709,669      ARAMARK Holdings Corp   70,062 
 9,400   e  ARCLAND SERVICE Co Ltd   168 
 3,079,739   *  Arcos Dorados Holdings, Inc   22,944 
 320,399      Ardent Leisure Group   463 
 1,657,070      Aristocrat Leisure Ltd   28,729 
 46,986   *  Ascent Media Corp (Series A)   722 
 65,400   e  Atom Corp   448 
 321,591      Autogrill S.p.A.   3,898 
 19,833   *,e  Basic-Fit NV   355 
 2,022,885   *  Belmond Ltd.   26,904 
 172,625      Benesse Holdings Inc   6,526 
 738,300      Berjaya Sports Toto BHD   435 
 24,015      bet-at-home.com AG.   3,486 
 77,458   e  Betsson AB   671 
 83,087   *,e,m  Betsson AB (Red Shares)   47 
 41,630   *  BJ’s Restaurants, Inc   1,551 
 2,728,000   *  Bloomberry Resorts Corp   500 
 425,675      Bloomin’ Brands, Inc   9,037 
 111,428      Bob Evans Farms, Inc   8,004 
 72,489   *  Bojangles’, Inc   1,178 
 184,749      Boyd Gaming Corp   4,584 
 150,053   *  Bridgepoint Education, Inc   2,215 
 111,058   *  Bright Horizons Family Solutions   8,575 
 324,823   e  Brinker International, Inc   12,376 
 5,500   e  BRONCO BILLY Co Ltd   129 
 90,474   *  Buffalo Wild Wings, Inc   11,463 
 96,442   *  Caesars Acquisition Co   1,837 
 283,125   *,e  Caesars Entertainment Corp   3,398 
 610,000      Cafe de Coral Holdings Ltd   1,976 
 34,722   *  Cambium Learning Group, Inc   176 
 54,551      Capella Education Co   4,670 
 85,513      Cara Operations Ltd   1,554 
 308,907   *  Career Education Corp   2,966 
 1,865,449      Carnival Corp   122,317 
 242,349      Carnival plc   16,025 
 30,104      Carriage Services, Inc   812 
 166,350   *  Carrols Restaurant Group, Inc   2,038 
 43,574   *  Century Casinos, Inc   321 
 88,945      Cheesecake Factory   4,474 
 165,565   *,e  Chegg, Inc   2,035 
 43,420   *  Cherry AB   309 
 5,520,000   *,e  China LotSynergy Holdings Ltd   97 
 2,160,000   e  China Maple Leaf Educational Systems Ltd   1,765 
 1,792,000   e  China Travel International Inv HK   516 
 626,000      China Yuhua Education Corp Ltd   216 
 97,781   *  Chipotle Mexican Grill, Inc (Class A)   40,687 
 32,093      Choice Hotels International, Inc   2,062 
 26,810      Churchill Downs, Inc   4,914 
 32,185   *  Chuy’s Holdings, Inc   753 
 20,930      Cie des Alpes   701 
 52,696      City Lodge Hotels Ltd   564 
 251,853      ClubCorp Holdings, Inc   3,299 
 808,564   *,e  Codere S.A.   406 
 16,881      Collectors Universe   420 
47

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 40,200   e  Colowide Co Ltd  $685 
 1,078,247   *  Compass Group plc   22,759 
 157,149   e  Corporate Travel Management Lt   2,771 
 105,613      Cox & Kings India Ltd   452 
 37,882   e  Cracker Barrel Old Country Store, Inc   6,336 
 28,900      Create Restaurants Holdings, Inc   261 
 427,711      Crown Resorts Ltd   4,037 
 96,342   *,e  Curro Holdings Ltd   326 
 396,600      CVC Brasil Operadora e Agencia de Viagens S.A.   3,878 
 103,988      Daekyo Co Ltd   741 
 120,000      Dahan Development Corp   254 
 5,500      Daisyo Corp   88 
 131,412   *  Dalata Hotel Group plc   723 
 250,560      Darden Restaurants, Inc   22,661 
 115,013   *  Dave & Buster’s Entertainment, Inc   7,650 
 89,904   *  Del Frisco’s Restaurant Group, Inc   1,447 
 65,225   *  Del Taco Restaurants, Inc   897 
 49,633      Delta Corp Ltd   119 
 308,697   *  Denny’s Corp   3,633 
 34,216      Dignity plc   1,108 
 54,057   e  DineEquity, Inc   2,381 
 4,578   e  DO & CO AG.   323 
 113,089   e  Domino’s Pizza Enterprises Ltd   4,525 
 1,093,069      Domino’s Pizza Group plc   4,184 
 30,003      Domino’s Pizza, Inc   6,347 
 5,640,654   e  Donaco International Ltd   2,515 
 22,400      Doutor Nichires Holdings Co Ltd   476 
 122,791   *  Drive Shack, Inc   387 
 3,087,716   *  Dubai Parks & Resorts PJSC   634 
 244,361   e  Dunkin Brands Group, Inc   13,469 
 1,734,800      Dynam Japan Holdings Co Ltd   3,057 
 127,910      EIH Ltd   269 
 40,309   *,e  El Pollo Loco Holdings, Inc   558 
 91,275   *  Eldorado Resorts, Inc   1,826 
 338,324   g  Elior Participations S.C.A   9,833 
 4,168   *  Emerson Pacific, Inc   116 
 1,095,000      Emperor Entertainment Hotel Ltd   265 
 7,347   *,e  Empire Resorts, Inc   176 
 248,051      EnerCare, Inc   3,772 
 792,413   *  Enterprise Inns plc   1,326 
 1,281,100      Erawan Group PCL   200 
 192,800      Estacio Participacoes S.A.   851 
 14,159   g  Evolution Gaming Group AB   742 
 1,469,492      Extended Stay America, Inc   28,449 
 45,000      Fairwood Holdings Ltd   189 
 142,152      Famous Brands Ltd   1,367 
 51,348   *  Fiesta Restaurant Group, Inc   1,060 
 54,626   e  Flight Centre Travel Group Ltd   1,608 
 517,568   *,e  Fogo De Chao, Inc   7,194 
 47,990      Formosa International Hotels Corp   261 
 667,000   e  Fu Shou Yuan International Group Ltd   402 
 31,000   e  Fuji Kyuko Co Ltd   336 
 4,700   e  Fujita Kanko, Inc   154 
 308,942      G8 Education Ltd   857 
 26,500      GAEC Educacao S.A.   131 
 1,874,155      Galaxy Entertainment Group Ltd   11,375 
48

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 6,472,592      Genting BHD  $14,188 
 4,769,993      Genting Singapore plc   3,758 
 272,783      Gold Reef Resorts Ltd   467 
 20,568      Golden Entertainment, Inc   426 
 47,300      Gourmet Master Co Ltd   510 
 3,862      Graham Holdings Co   2,316 
 95,619   *  Grand Canyon Education, Inc   7,497 
 22,686      Grand Korea Leisure Co Ltd   444 
 121,309   *  Great Canadian Gaming Corp   2,234 
 206,538      Greene King plc   1,813 
 218,029      Greggs plc   3,067 
 218,039      GVC Holdings plc   2,149 
 997,512      H&R Block, Inc   30,833 
 40,017   *,e  Habit Restaurants, Inc   632 
 854,000   *,g  Haichang Holdings Ltd   180 
 6,634      Hana Tour Service, Inc   531 
 11,580      Hiday Hidaka Corp   288 
 195,434   *  Hilton Grand Vacations, Inc   7,047 
 335,865      Hilton Worldwide Holdings, Inc   20,773 
 33,200   e  Hiramatsu Inc   196 
 27,500   e  HIS Co Ltd   829 
 736,100   *,e  Hoteles City Express SAB de C.V.   947 
 336,784   *  Houghton Mifflin Harcourt Co   4,142 
 182,675      Huangshan Tourism Development Co Ltd   292 
 40,638   *  Hyatt Hotels Corp   2,284 
 8,800   e  Ichibanya Co Ltd   301 
 90,726      IDP Education Ltd   355 
 566,905      ILG, Inc   15,584 
 461,654      Indian Hotels Co Ltd   955 
 100,564      InterContinental Hotels Group plc   5,585 
 240,197      International Game Technology plc   4,396 
 116,446      International Speedway Corp (Class A)   4,373 
 80,530   *  Intrawest Resorts Holdings Inc   1,912 
 85,145      Invocare Ltd   962 
 27,281   *  J Alexander’s Holdings, Inc   334 
 171,506      Jack in the Box, Inc   16,893 
 36,738   *,e  Jackpotjoy plc   325 
 474,557      Jollibee Foods Corp   1,917 
 21,573      Jubilant Foodworks Ltd   316 
 135,962   *  K12, Inc   2,436 
 16,483   *,e  Kambi Group plc   190 
 121,598      Kangwon Land, Inc   3,705 
 16,300   e  Kappa Create Co Ltd   185 
 13,600      Kisoji Co Ltd   332 
 217,000   *  KNT-CT Holdings Co Ltd   335 
 27,900   e  KOMEDA Holdings Co Ltd   445 
 14,300      Koshidaka Holdings Co Ltd   358 
 2,698,645      Kroton Educacional S.A.   12,113 
 8,700      Kura Corp   400 
 21,100      Kyoritsu Maintenance Co Ltd   615 
 426,291   *  La Quinta Holdings, Inc   6,296 
 638,455      Ladbrokes plc   952 
 1,371,839      Las Vegas Sands Corp   87,647 
 70,251   *,e  Laureate Education, Inc   1,232 
 224,417      LeoVegas AB   1,652 
 170,000      Li Bao GE Group Ltd   179 
49

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 12,561      Liberty Tax, Inc  $163 
 38,711   *  Lindblad Expeditions Holdings, Inc   406 
 1,365,000   *,e  Macau Legend Development Ltd   248 
 20,382      Mahindra Holidays & Resorts India Ltd   184 
 236,555   e  Mantra Group Ltd   554 
 97,024      Marcus Corp   2,930 
 753,199      Marriott International, Inc (Class A)   75,553 
 43,462      Marriott Vacations Worldwide Corp   5,118 
 414,080      Marston’s plc   658 
 6,300      Matsuya Foods Co Ltd   236 
 1,200,000      Max’s Group, Inc   450 
 2,332,858      McDonald’s Corp   357,300 
 51,953   e  McDonald’s Holdings Co Japan Ltd   1,993 
 15,700      Meiko Network Japan Co Ltd   209 
 2,534,694      Melco Crown Entertainment Ltd (ADR)   56,904 
 2,594,884      Melco International Development   6,942 
 33,178,400   *  Melco Resorts And Entertainment Philippines Corp   5,749 
 76,591      Melia Hotels International S.A.   1,147 
 1,286,414   g  Merlin Entertainments plc   8,053 
 866,607   e  MGM China Holdings Ltd   1,927 
 3,933,949      MGM Resorts International   123,093 
 232,500      Minor International PCL   275 
 1      Minor International PCL (ADR)    0^
 1,970,708      Minor International PCL (Foreign)   2,333 
 148,103      Mitchells & Butlers plc   445 
 12,449      Modetour Network, Inc   344 
 45,765   *  Monarch Casino & Resort, Inc   1,384 
 17,500      MOS Food Services, Inc   538 
 29,171      MTY Food Group, Inc   1,043 
 9,179   *  Nathan’s Famous, Inc   578 
 159,004      Navitas Ltd   593 
 72,046   *  NET Holding AS   60 
 200,498      New Oriental Education & Technology Group (ADR)   14,133 
 139,791   *  NH Hoteles S.A.   843 
 23,024   *,e  Noodles & Co   90 
 66,376   *  Nord Anglia Education, Inc   2,162 
 137,607   *,n  Norwegian Cruise Line Holdings Ltd   7,471 
 8,600      Ohsho Food Service Corp   328 
 513,696      OPAP S.A.   5,809 
 120,000      Oriental Land Co Ltd   8,133 
 347,400   e  Overseas Union Enterprise Ltd   495 
 15,757      Paddy Power plc   1,682 
 56,476      Pandox AB   1,009 
 25,830   *  Panera Bread Co (Class A)   8,127 
 108,775      Papa John’s International, Inc   7,806 
 32,955   e  Paradise Co Ltd   413 
 1,000,000   *  Parques Reunidos Servicios Centrales SAU   18,777 
 518,916   *  Penn National Gaming, Inc   11,105 
 3,489   *,e  Pierre & Vacances   196 
 267,160   *  Pinnacle Entertainment, Inc   5,279 
 165,867   e  Planet Fitness, Inc   3,871 
 74,200      Plenus Co Ltd   1,567 
 45,473   *  Potbelly Corp   523 
 6,053,000      Premium Leisure Corp   186 
 95,300      Prestariang BHD   46 
 190,622      Rank Group plc   589 
50

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 17,185   e  RCI Hospitality Holdings, Inc  $410 
 35,695   *  Red Lion Hotels Corp   262 
 34,405   *  Red Robin Gourmet Burgers, Inc   2,245 
 1,004,347      Red Rock Resorts, Inc   23,652 
 166,301   *  Regis Corp   1,708 
 3,044,329      Resorts World BHD   3,900 
 67,200      Resorttrust, Inc   1,240 
 1,118,609   e  Restaurant Brands International, Inc   69,958 
 261,235      Restaurant Brands International, Inc (Toronto)   16,345 
 145,896      Restaurant Group plc   622 
 94,268   e  Retail Food Group Ltd   341 
 37,961      Rezidor Hotel Group AB   141 
 14,100   e  Ringer Hut Co Ltd   305 
 47,600      Round One Corp   451 
 212,135      Royal Caribbean Cruises Ltd   23,172 
 19,400   e  Royal Holdings Co Ltd   444 
 125,261   *  Ruby Tuesday, Inc   252 
 211,617      Ruth’s Chris Steak House, Inc   4,603 
 47,100      Saizeriya Co Ltd   1,371 
 2,100,495      Sands China Ltd   9,615 
 561,580   g  Scandic Hotels Group AB   7,299 
 105,218   *  Scientific Games Corp (Class A)   2,746 
 133,970   e  SeaWorld Entertainment, Inc   2,180 
 239,200   g  Ser Educacional S.A.   1,769 
 403,352      Service Corp International   13,492 
 449,182   *  ServiceMaster Global Holdings, Inc   17,603 
 43,200   *,e  Shake Shack, Inc   1,507 
 3,636,000   e  Shanghai Jinjiang International Hotels Group Co Ltd   1,136 
 52,049      Shanghai Jinjiang International Travel Co Ltd   151 
 984,120      Shangri-La Asia Ltd   1,669 
 1,406      Shinsegae Food Co Ltd   193 
 116,843      Six Flags Entertainment Corp   6,965 
 1,791,148      SJM Holdings Ltd   1,887 
 42,453      SkiStar AB (Series B)   985 
 441,454      Sky City Entertainment Group Ltd   1,320 
 83,900   e  Skylark Co Ltd   1,205 
 34,543      Sodexho Alliance S.A.   4,464 
 126,287      Sonic Corp   3,345 
 75,803   *  Sotheby’s (Class A)   4,068 
 42,219      Speedway Motorsports, Inc   771 
 818,865      SSP Group plc   5,075 
 10,100      St Marc Holdings Co Ltd   309 
 523,413      Star Entertainment Grp Ltd   2,032 
 4,368,571      Starbucks Corp   254,731 
 2,026   *  Steak N Shake Co   810 
 20,795      Strayer Education, Inc   1,939 
 46,700   e  Studio Alice Co Ltd   953 
 80,683      Sun International Ltd   340 
 609,608      Tabcorp Holdings Ltd   2,047 
 46,921      TAL Education Group (ADR)   5,739 
 62,200   e  Tarena International, Inc (ADR)   1,114 
 965,343      Tattersall’s Ltd   3,101 
 60,907   *,e  Telepizza Group S.A.   351 
 131,870      Texas Roadhouse, Inc (Class A)   6,719 
 973,595      Thomas Cook Group plc   1,141 
 70,236      Thomas Cook India Ltd   269 
51

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 58,600      Tokyo Dome Corp  $531 
 10,800      Tokyotokeiba Co Ltd   275 
 17,900      Toridoll.corp   461 
 5,600      Tosho Co Ltd   266 
 437,523      TUI AG. (DI)   6,378 
 17,700   *,e  Tuniu Corp (ADR)   142 
 669,356      Unibet Group plc (ADR)   7,572 
 60,804      Vail Resorts, Inc   12,333 
 13,200      Watami Co Ltd   158 
 54,939   *,e  Weight Watchers International, Inc   1,836 
 606,347      Wendy’s   9,404 
 137,050   e  Wetherspoon (J.D.) plc   1,741 
 41,992      Whitbread plc   2,170 
 715,212      William Hill plc   2,368 
 524,879   e  Wingstop, Inc   16,219 
 582,000      Wisdom Education International Holdings Co Ltd   202 
 44,220      Wowprime Corp   268 
 512,812      Wyndham Worldwide Corp   51,491 
 1,099,571   e  Wynn Macau Ltd   2,568 
 488,747      Wynn Resorts Ltd   65,551 
 98,000      Yomiuri Land Co Ltd   465 
 8,233      Yong Pyong Resort Co Ltd   87 
 43,600      Yoshinoya D&C Co Ltd   727 
 1,947,131   *  Yum China Holdings, Inc   76,775 
 515,290      Yum! Brands, Inc   38,008 
 23,051      Zeal Network SE   697 
 172,600      Zensho Co Ltd   3,133 
 720,432   *,e  Zoe’s Kitchen, Inc   8,580 
        TOTAL CONSUMER SERVICES   2,723,811 
                
DIVERSIFIED FINANCIALS - 3.5%        
 1,349,644      3i Group plc   15,869 
 74,873      ABC Arbitrage   552 
 1,065,247      Aberdeen Asset Management plc   4,194 
 15,631      Ackermans & Van Haaren   2,610 
 4,914,550   *  Acom Co Ltd   22,495 
 101,400      Aeon Credit Service M BHD   452 
 56,548      AEON Financial Service Co Ltd   1,200 
 101,209      Affiliated Managers Group, Inc   16,787 
 54,262      AG Mortgage Investment Trust   993 
 127,104      AGF Management Ltd   661 
 849,013      AGNC Investment Corp   18,076 
 8,486,900   *,e  Aiful Corp   31,038 
 40      AIRA Capital Co Ltd    0^
 84,757      Aker ASA (A Shares)   2,783 
 1,905,399      Al Waha Capital PJSC   892 
 24,722   e  Alaris Royalty Corp   439 
 1,135,636      Alexander Forbes Group Holdings Ltd   603 
 153,778   *,e  Allied Minds plc   334 
 1,144,083      Ally Financial, Inc   23,911 
 77,171      Altamir Amboise   1,437 
 1,019,696      Amanat Holdings PJSC   317 
 2,062,324      American Express Co   173,730 
 998,688      Ameriprise Financial, Inc   127,123 
 3,489,070      AMP Ltd   13,922 
 696,614   g  Amundi S.A.   50,474 
52

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,982,567   g  Anima Holding S.p.A  $14,213 
 2,151,444      Annaly Capital Management, Inc   25,925 
 185,635      Anworth Mortgage Asset Corp   1,116 
 432,836   e  Apollo Commercial Real Estate Finance, Inc   8,029 
 120,296      Ares Commercial Real Estate Corp   1,575 
 45,350   e  Arlington Asset Investment Corp (Class A)   620 
 72,429      ARMOUR Residential REIT, Inc   1,811 
 111,956      Arrow Global Group plc   591 
 150,898      Artisan Partners Asset Management, Inc   4,633 
 1,009,453      Ashmore Group plc   4,646 
 12,981   *,m  Asia Pacific Investment Partners Limited   64 
 9,813      Associated Capital Group, Inc   334 
 15,613   e  Aurelius AG.   839 
 380,098      Australian Stock Exchange Ltd   15,660 
 17,130      Avanza AB   748 
 331,571      Ayala Corp   5,589 
 2,215   *,m  Ayala Corp Preferred    0^
 89,843      Azimut Holding S.p.A.   1,807 
 26,551      B. Riley Financial, Inc   493 
 129,627   e  B2Holding ASA   253 
 174,948      Bajaj Finance Ltd   3,713 
 186,450      Banca Generali S.p.A   5,564 
 120,416      Banca IFIS S.p.A.   4,895 
 202,714      Banca Mediolanum S.p.A   1,683 
 3,344,432      Bank of New York Mellon Corp   170,633 
 579,941      BGC Partners, Inc (Class A)   7,330 
 46,369      BinckBank NV   234 
 205,800      BlackRock, Inc   86,932 
 498,973      Blackstone Group LP   16,641 
 132,212   e  Blackstone Mortgage Trust, Inc   4,178 
 2,144,153      BM&F Bovespa S.A.   12,782 
 1,011,300      Bolsa Mexicana de Valores S.A. de C.V.   1,768 
 58,769   e  Bolsas y Mercados Espanoles   2,124 
 346,014   *,e  Brait S.A.   1,600 
 227,800      Brewin Dolphin Holdings plc   1,016 
 382,000   e  Bright Smart Securities & Commodities Group Ltd   113 
 943,360      Brookfield Asset Management, Inc   37,020 
 10,302   *  BSE Ltd   171 
 526,494      BT Investment Management Ltd   4,608 
 121,059      Bure Equity AB   1,408 
 125,130      Burford Capital Ltd   1,468 
 383,700      Bursa Malaysia BHD   948 
 28,317   e  Callidus Capital Corp   310 
 200,981      Canaccord Financial, Inc   826 
 20,607      Capital First Ltd   212 
 1,247,183      Capital One Financial Corp   103,042 
 1,310,000      Capital Securities Corp   430 
 187,927      Capstead Mortgage Corp   1,960 
 253,263      CBOE Holdings, Inc   23,148 
 87,735      Cembra Money Bank AG.   8,315 
 36,301      Century Leasing System, Inc   1,455 
 159,810      Cerved Information Solutions S.p.A   1,715 
 7,044,123      Chailease Holding Co Ltd   19,622 
 638,273      Challenger Financial Services Group Ltd   6,546 
 1,738,534      Charles Schwab Corp   74,687 
 54,334      Cherry Hill Mortgage Investment Corp   1,004 
53

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 471,022      Chimera Investment Corp  $8,775 
 804,000      China Bills Finance Corp   398 
 10,055,105      China Cinda Asset Management Co Ltd   3,747 
 1,093,125      China Everbright Ltd   2,377 
 10,250,000   *  China Financial International Investments Ltd   394 
 6,132,545      China Galaxy Securities Co Ltd   5,497 
 6,980,000      China Huarong Asset Management Co Ltd   2,707 
 1,000,000      China International Capital Corp Ltd   1,476 
 14,320,000   e  China LNG Group Ltd   266 
 6,870,000   *  China Minsheng Financial Holding Corp Ltd   440 
 438,382   e  CI Financial Corp   9,344 
 2,472,915      CITIC Securities Co Ltd   5,114 
 4,975,383      ClearView Wealth Ltd   5,545 
 531,169      Close Brothers Group plc   10,448 
 202,630   g  CMC Markets plc   377 
 1,211,800      CME Group, Inc   151,766 
 68,280   *  Coface S.A.   683 
 42,085      Cohen & Steers, Inc   1,706 
 228,540      Coronation Fund Managers Ltd   1,139 
 17,376      Corp Financiera Alba   1,050 
 71,686      Corp Financiera Colombiana S.A.   629 
 50,891   *  Cowen Group, Inc   827 
 77,468   *,e  Credit Acceptance Corp   19,920 
 22,917      Credit Analysis & Research Ltd   568 
 11,244,000   *,e  Credit China Fintech Holdings Ltd   1,555 
 66,088   e  Credit Corp Group Ltd   901 
 78,564      Credit Saison Co Ltd   1,538 
 2,489,686      Credit Suisse Group   36,227 
 177,851      Credito Real SAB de C.V.   277 
 27,385      CRISIL Ltd   824 
 300,255      CYS Investments, Inc   2,525 
 391,442      Daewoo Securities Co Ltd   3,777 
 166,460      Daishin Securities Co Ltd   2,247 
 18,053      Daishin Securities Co Ltd PF   152 
 1,781,360      Daiwa Securities Group, Inc   10,607 
 10,157      Daou Data Corp   107 
 43,084      Daou Technology, Inc   827 
 60,281      DeA Capital S.p.A.   84 
 327,928   e  Deutsche Bank AG.   5,834 
 1,337,037      Deutsche Bank AG. (Registered)   23,772 
 9,828   *  Deutsche Beteiligungs AG.   438 
 291,348      Deutsche Boerse AG.   30,775 
 8,326      Diamond Hill Investment Group, Inc   1,660 
 1,064,000   *,e  Differ Group Holding Co Ltd   89 
 1,105,000   *  Dingyi Group Investment Ltd   174 
 673,006   n  Discover Financial Services   41,854 
 51,727   *  Donnelley Financial Solutions, Inc   1,188 
 31,688   *,e  Dundee Corp   70 
 89,362      Dynex Capital, Inc   634 
 3,446,593   *,n  E*TRADE Financial Corp   131,074 
 368,543      Eaton Vance Corp   17,439 
 152,677      Eclipx Group Ltd   419 
 411,037   e  ECN Capital Corp   1,268 
 731,668      Edelweiss Capital Ltd   2,165 
 6,177      EFG Financial Products Holding AG.   344 
 62,543   e  EFG International   406 
54

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 24,062      Egyptian Financial Group-Hermes Holding  $32 
 363,568   e  Element Financial Corp   2,495 
 55,988   *  Elevate Credit, Inc   443 
 14,720      Ellington Residential Mortgage REIT   216 
 7,212,000   e  Emperor Capital Group Ltd   647 
 47,454   *,e  Encore Capital Group, Inc   1,905 
 5,475,000   *,e  Enerchina Holdings Ltd   121 
 365,391   *  Enova International, Inc   5,426 
 51,357   *  Eugene Investment & Securities Co Ltd   181 
 10,085      Eurazeo   757 
 1,049,845   g  Euronext NV   54,524 
 219,615      Evercore Partners, Inc (Class A)   15,483 
 99,651   e  EXOR NV   5,407 
 165,430   *  Ezcorp, Inc (Class A)   1,274 
 99,397      Factset Research Systems, Inc   16,518 
 4,668,276      Far East Horizon Ltd   4,073 
 1,092,000   *,e  FDG Kinetic Ltd   196 
 217,742      Federated Investors, Inc (Class B)   6,151 
 5,891   e  Ferratum Oyj   159 
 29,070      Fiera Capital Corp   308 
 11,525      Fifth Street Asset Management, Inc   56 
 115,788   e  Financial Engines, Inc   4,238 
 505,500   e  Financial Products Group Co Ltd   4,829 
 2,754,785      First Pacific Co   2,032 
 158,481      FirstCash, Inc   9,239 
 5,806,390      FirstRand Ltd   20,940 
 181,024      FlexiGroup Ltd   254 
 71,027   g  Flow Traders   1,960 
 280,321   *  FNFV Group   4,429 
 343,837      Franklin Resources, Inc   15,400 
 13,100,000   *  Freeman Financial Corp Ltd   872 
 6,860,461      Fubon Financial Holding Co Ltd   10,917 
 23,951,242      Fuhwa Financial Holdings Co Ltd   10,553 
 21,100      Fuyo General Lease Co Ltd   1,207 
 73,830      Gain Capital Holdings, Inc   460 
 8,780      GAMCO Investors, Inc (Class A)   260 
 874,462      Gentera SAB de C.V.   1,312 
 1,567,600      GF Securities Co Ltd   3,150 
 13,576      Gimv NV   822 
 83,846      Gluskin Sheff + Associates, Inc   1,083 
 645,221      Goldman Sachs Group, Inc   143,175 
 1,410,000   *  Good Resources Holdings Ltd   62 
 53,916   e  Great Ajax Corp   754 
 276,651   *  Green Dot Corp   10,659 
 56,487      Greenhill & Co, Inc   1,135 
 5,938      GRENKELEASING AG.   1,322 
 47,300      Group Lease PCL   30 
 207,100      Group Lease PCL (FO)   130 
 69,941      Groupe Bruxelles Lambert S.A.   6,732 
 411,076      Grupo de Inversiones Suramericana S.A.   5,342 
 217,393      Grupo de Inversiones Suramericana S.A. (Preference)   2,755 
 109,355      GT Capital Holdings, Inc   2,619 
 276,500   e  Guolian Securities Co Ltd   139 
 8,336,800   e  Guotai Junan International Hol   2,585 
 902,242      Haci Omer Sabanci Holding AS   2,803 
55

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 4,940,162      Haitong Securities Co Ltd  $7,987 
 48,758      Hamilton Lane, Inc   1,072 
 17,060      Hankook Tire Worldwide Co Ltd   325 
 211,750      Hannon Armstrong Sustainable Infrastructure Capital, Inc   4,843 
 78,394   *  Hanwha Securities Co   257 
 382,695      Hargreaves Lansdown plc   6,490 
 44,643      Hellenic Exchanges S.A.   290 
 309,700      Hitachi Capital Corp   7,468 
 12,807      HMC Investment Securities Co Ltd   147 
 86,238   e,g  Hoist Finance AB   881 
 1,409,129      Hong Kong Exchanges and Clearing Ltd   36,404 
 177,483      Houlihan Lokey, Inc   6,194 
 510,500   *,e  Huarong International Financial Holdings Ltd   184 
 2,790,600   g  Huatai Securities Co Ltd   5,363 
 2,088   *  Hypoport AG.   271 
 55,700      IBJ Leasing Co Ltd   1,341 
 24,300      Ichiyoshi Securities Co Ltd   205 
 2,616,071      IFCI Ltd   981 
 986,656      IG Group Holdings plc   7,304 
 227,706   e  IGM Financial, Inc   7,062 
 167,629      India Infoline Ltd   1,575 
 2,381,249      Indiabulls Housing Finance Ltd   39,607 
 91,077      Indiabulls Securities Ltd   228 
 39,030      Industrivarden AB   936 
 188,892   *  Infrastructure Development Finance Co Ltd   161 
 167,387      Interactive Brokers Group, Inc (Class A)   6,264 
 783,063      IntercontinentalExchange Group, Inc   51,620 
 226,658      Intermediate Capital Group plc   2,458 
 164,891      International Personal Finance plc   362 
 29,683   *  INTL FCStone, Inc   1,121 
 99,681      Inversiones La Construccion S.A.   1,236 
 560,001      Invesco Ltd   19,706 
 223,395      Invesco Mortgage Capital, Inc   3,733 
 252,820      Investec Ltd   1,865 
 136,757      Investec plc   1,022 
 52,085      Investment AB Kinnevik (B Shares)   1,597 
 61,610      Investment AB Oresund   1,130 
 65,089      Investment Technology Group, Inc   1,383 
 169,216      Investor AB (B Shares)   8,164 
 240,589   e  IOOF Holdings Ltd   1,813 
 145,321      Iress Market Technology Ltd   1,417 
 221,681      iShares MSCI Canada Index Fund   5,932 
 1,100,576      iShares MSCI EAFE Index Fund   71,758 
 604,429   e  iShares MSCI Emerging Markets   25,017 
 41,400      J Trust Co Ltd   327 
 434,000      Jaccs Co Ltd   2,119 
 129,032      Jafco Co Ltd   5,218 
 82,128   *  Janus Henderson Group plc   2,719 
 1,797,300      Japan Securities Finance Co Ltd   9,328 
 1,263,346      Jih Sun Financial Holdings Co Ltd   287 
 149,077      JM Financial Ltd   271 
 205,555      JSE Ltd   1,925 
 216,968      Julius Baer Group Ltd   11,464 
 200,022      Julius Baer Holding AG.   2,689 
 672,319      Jupiter Investment Management Group Ltd   4,422 
 95,600      k1 Ventures Ltd   44 
56

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 980,600      kabu.com Securities Co Ltd  $3,307 
 32,963      KBC Ancora   1,612 
 87,732   *  KCG Holdings, Inc   1,749 
 7,984      KIWOOM Securities Co Ltd   651 
 20,079   e  KKR Real Estate Finance Trust, Inc   432 
 41,299      Korea Investment Holdings Co Ltd   2,531 
 9,470,700   *  Kresna Graha Investama PT Tbk   307 
 16,917      KRUK S.A.   1,406 
 51,000      Krungthai Card PCL   180 
 14,463      Kyobo Securities Co   146 
 87,029   e  Kyokuto Securities Co Ltd   1,249 
 252,074      L&T Finance Holdings Ltd   562 
 135,514      Ladder Capital Corp   1,817 
 450,632   *  Ladenburg Thalmann Financial Services, Inc   1,100 
 610,101      Lazard Ltd (Class A)   28,266 
 250,956      Legg Mason, Inc   9,576 
 636,050   *  LendingClub Corp   3,505 
 751,042      Leucadia National Corp   19,647 
 566,746      London Stock Exchange Group plc   26,959 
 412,164      LPL Financial Holdings, Inc   17,500 
 42,946      Lundbergs AB (B Shares)   3,392 
 24,800   *  M&A Capital Partners Co Ltd   1,143 
 372,957      Macquarie Group Ltd   25,363 
 188,629      Magellan Financial Group Ltd   4,181 
 288,745      Mahindra & Mahindra Financial Services Ltd   1,540 
 13,324,227      Man Group plc   26,887 
 768,228      Manappuram General Finance & Leasing Ltd   1,163 
 113,872      MarketAxess Holdings, Inc   22,900 
 17,478      Marlin Business Services Corp   440 
 34,200   *,e  Marusan Securities Co Ltd   286 
 17,462,399   *,e  Mason Financial Holdings Ltd   230 
 846,401      Masterlink Securities Corp   230 
 238,500      Matsui Securities Co Ltd   1,950 
 14,687   e  Medley Management, Inc   95 
 222,158      Meritz finance Holdings Co Ltd   2,767 
 889,106      Meritz Securities Co Ltd   3,936 
 23,135,706      Metro Pacific Investments Corp   2,928 
 955,349   e  MFA Mortgage Investments, Inc   8,015 
 84,000      MIN XIN Holdings Ltd   63 
 1,780,451      Mitsubishi UFJ Lease & Finance Co Ltd   9,769 
 42,085      MLP AG.   281 
 118,122      Moelis & Co   4,589 
 973,000   e  Monex Beans Holdings, Inc   2,581 
 313,285      Moody’s Corp   38,121 
 8,505,602      Morgan Stanley   379,010 
 72,475      Morningstar, Inc   5,678 
 49,571      Motilal Oswal Financial Services Ltd   878 
 262,156      MSCI, Inc (Class A)   26,999 
 139,242      MTGE Investment Corp   2,618 
 462,000      Muangthai Leasing PCL   455 
 13,421      Multi Commodity Exchange of India Ltd   226 
 143,983      Muthoot Finance Ltd   1,013 
 279,967      NASDAQ OMX Group, Inc   20,015 
 662,551      Navient Corp   11,031 
 61,265      Nelnet, Inc (Class A)   2,880 
 26,698   *,g  Netmarble Games Corp   3,617 
57

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 752,096      New Residential Investment Corp  $11,703 
 215,858      New York Mortgage Trust, Inc   1,343 
 127,888      NewStar Financial, Inc   1,343 
 459,179      NEX Group plc   3,737 
 11,606      NICE Holdings Co Ltd   177 
 25,831      NICE Information Service Co Ltd   183 
 17,900   *,e  Noah Holdings Ltd (ADR)   513 
 2,872,439      Nomura Holdings, Inc   17,322 
 398,859      Northern Trust Corp   38,773 
 3,417,866   e  NZX Ltd   2,810 
 535,000      Okasan Holdings, Inc   3,450 
 622,352      OM Asset Management plc   9,248 
 218,503   *,e  On Deck Capital, Inc   1,018 
 125,565   *  OneMain Holdings, Inc   3,088 
 149,210      Onex Corp   11,944 
 25,508      Oppenheimer Holdings, Inc   418 
 220,657   e  Orchid Island Capital, Inc   2,176 
 361,100   e  Orient Corp   631 
 2,769,776      ORIX Corp   43,097 
 409,362      Osaka Securities Exchange Co Ltd   7,443 
 75      OSK Holdings BHD    0^
 19,732      Owens Realty Mortgage, Inc   335 
 177,916   e  OzForex Group Ltd   220 
 60,647      P2P Global Investments plc   701 
 10,228      Pargesa Holding S.A.   779 
 11,406      Partners Group   7,082 
 131,321      PennyMac Mortgage Investment Trust   2,402 
 493,305      Peregrine Holdings Ltd   1,089 
 517,000   *,m  Peregrine Investment Holdings   0 
 167,456      Perpetual Trustees Australia Ltd   7,188 
 43,142   *  Pico Holdings, Inc   755 
 147,853   *  Pioneers Holding   71 
 67,382      Piper Jaffray Cos   4,040 
 35,531      PJT Partners, Inc   1,429 
 493,798   e  Platinum Asset Mangement Ltd   1,757 
 414,974      Plus500 Ltd   2,948 
 1,223,945      Power Finance Corp Ltd   2,321 
 91,249   *,e  PRA Group, Inc   3,458 
 660,022      President Securities Corp   311 
 118,658      Provident Financial plc   3,763 
 91,709      PSG Group Ltd   1,682 
 128,527      PTC India Financial Services Ltd   78 
 100,683      Pzena Investment Management, Inc (Class A)   1,023 
 13,473      Qatar Industrial Manufacturing Co   159 
 1,352,500      Ratchthani Leasing PCL   233 
 33,856      Rathbone Brothers   1,117 
 139,034   e  Ratos AB (B Shares)   663 
 280,170      Raymond James Financial, Inc   22,475 
 197,907      Redwood Trust, Inc   3,372 
 20,909   *  Regional Management Corp   494 
 243,144      Reliance Capital Ltd   2,421 
 860,101      Remgro Ltd   14,034 
 38,027      Repco Home Finance Ltd   485 
 58,977      Resource Capital Corp   600 
 174,015   e,g  Resurs Holding AB   1,082 
 27,700   e  Ricoh Leasing Co Ltd   970 
58

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,259,684      RMB Holdings Ltd  $5,659 
 1,484,470      Rural Electrification Corp Ltd   3,944 
 698,377      S&P Global, Inc   101,956 
 40,254   *  Safeguard Scientifics, Inc   479 
 18,856      Salam International Investment Co   48 
 33,876      Samsung Card Co   1,157 
 72,071      Samsung Securities Co Ltd   2,600 
 393,829   *  Santander Consumer USA Holdings, Inc   5,025 
 249,100      Sawada Holdings Co Ltd   2,193 
 403,444      SBI Holdings, Inc   5,486 
 221,169      Schroders plc   8,943 
 447,417      SEI Investments Co   24,062 
 5   *,m  SFCG Co Ltd   0 
 300,000      Shenyin Wanguo HK Ltd   116 
 8,839      Shinyoung Securities Co Ltd   425 
 452,100      Shriram Transport Finance Co Ltd   6,985 
 15,603      Silvercrest Asset Management Group, Inc   210 
 1,146,227      Singapore Exchange Ltd   6,109 
 199,897   *,e  SK Securities Co Ltd   283 
 13,722   *  SKS Microfinance Pvt Ltd   153 
 1,192,727   *  SLM Corp   13,716 
 768,475   *,e,m  SNS Reaal   9 
 25,451,369      Sociedad de Inversiones Oro Blanco S.A.   177 
 4,558      Societe Fonciere Financiere et de Participations FFP   464 
 16,504      Sofina S.A.   2,370 
 255,348   e  Sparx Group Co Ltd   492 
 9,200      SPDR Trust Series 1   2,225 
 251,983   e  Sprott, Inc   443 
 497,835      SREI Infrastructure Finance Ltd   892 
 381,879      Srisawad Power 1979 PCL   564 
 851,935      Starwood Property Trust, Inc   19,075 
 1,480,404      State Street Corp   132,837 
 131,361   *  Stifel Financial Corp   6,040 
 5,501,000      Sun Hung Kai & Co Ltd   3,543 
 37,142      Sundaram Finance Ltd   923 
 5,250   e  Swissquote Group Holding S.A.   145 
 2,486,533      Synchrony Financial   74,148 
 578,112      T Rowe Price Group, Inc   42,902 
 2,686,730   e  Tai Fook Securities Group Ltd   1,587 
 260,000      Taiwan Acceptance Corp   927 
 47,350      Tamburi Investment Partners S.p.A.   272 
 11,362      Tata Investment Corp Ltd   130 
 218,379      TD Ameritrade Holding Corp   9,388 
 49,278      Thomson Corp   2,281 
 413,821      Thomson Corp (Toronto)   19,159 
 47,917      Tiptree Financial, Inc   338 
 81,229      TMX Group Ltd   4,420 
 257,480      Tokai Tokyo Securities Co Ltd   1,434 
 72,492   *  Tong Yang Investment Bank   260 
 257,635      Transaction Capital Ltd   290 
 393,113      Tullett Prebon plc   2,393 
 957,388      Two Harbors Investment Corp   9,488 
 2,991,302      UBS AG.   50,870 
 366,100      Unifin Financiera SAPI de C.V. SOFOM ENR   1,015 
 1,101,083      UOB-Kay Hian Holdings Ltd   1,080 
 78,877   *  Uranium Participation Corp   237 
59

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,268      Value Line, Inc  $42 
 2,800,000   e  Value Partners Group Ltd   2,549 
 25,065      Verusa Holding AS.   109 
 51,228   e  Virtu Financial, Inc   904 
 13,091      Virtus Investment Partners, Inc   1,452 
 17,174      Volati AB   155 
 119,724      Vontobel Holding AG.   7,800 
 163,270      Voya Financial, Inc   6,023 
 2,034      VZ Holding AG.   653 
 269,086   e  Waddell & Reed Financial, Inc (Class A)   5,080 
 43,985      Warsaw Stock Exchange   579 
 3,034,952      Waterland Financial Holdings   948 
 28,423      Wendel   4,204 
 81,832      Western Asset Mortgage Capital Corp   843 
 30,954      Westwood Holdings Group, Inc   1,755 
 226,539   e  WisdomTree Investments, Inc   2,304 
 5,239      Woori Financial Co Ltd   136 
 424,439      Woori Investment & Securities Co Ltd   5,507 
 11,594   *  World Acceptance Corp   869 
 31,444   e  ZAIS Financial Corp   467 
 1,316,453      Zeder Investments Ltd   660 
 118,700      Zenkoku Hosho Co Ltd   4,860 
        TOTAL DIVERSIFIED FINANCIALS   4,164,933 
                
ENERGY - 6.0%        
 1,075,055   *  Abraxas Petroleum Corp   1,742 
 5,397      Adams Resources & Energy, Inc   222 
 28,692,604      Adaro Energy Tbk   3,395 
 123,146   *  Advantage Oil & Gas Ltd   833 
 61,469      Aegis Logistics Ltd   180 
 92,072   *,e  Akastor ASA   152 
 150,398      Aker BP ASA   2,227 
 111,201   *  Aker Solutions ASA   503 
 62,685      Alon USA Energy, Inc   835 
 131,762      AltaGas Income Trust   3,016 
 494,126      AMEC plc   3,010 
 695,572   *,e  Amerisur Resources plc   179 
 1,059,145      Anadarko Petroleum Corp   48,022 
 269,660   *  Antero Resources Corp   5,827 
 1,094,000   *,e  Anton Oilfield Services Group   102 
 100,000      AOC Holdings, Inc   302 
 926,255   e  Apache Corp   44,395 
 179,283   *  Approach Resources, Inc   604 
 1,471,218   e  ARC Resources Ltd   19,241 
 123,852   e  Arch Coal, Inc   8,459 
 274,178      Archrock, Inc   3,126 
 54,732   e  Ardmore Shipping Corp   446 
 342,924   *  Athabasca Oil Corp   267 
 148,912   *,e  Atwood Oceanics, Inc   1,214 
 1,507,352      Baker Hughes, Inc   82,166 
 411,100      Bangchak Corp PCL   405 
 2,709,310      Banpu PCL (Foreign)   1,323 
 42,255   *  Basic Energy Services, Inc   1,052 
 694,661   *,e  Baytex Energy Trust   1,687 
 4,766,355      Beach Petroleum Ltd   2,104 
 967,662      Bharat Petroleum Corp Ltd   9,569 
60

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,052,718   *  Bill Barrett Corp  $3,232 
 152,659      Birchcliff Energy Ltd   719 
 89,766   *  Bonanza Creek Energy, Inc   2,847 
 542,277      Bonavista Energy Trust   1,133 
 66,223      Bonterra Oil & Gas Ltd   855 
 20,628   e  Bourbon S.A.   200 
 20,441,780      BP plc   117,993 
 339,267      BP plc (ADR)   11,756 
 4,936,000      Brightoil Petroleum Holdings Ltd   1,334 
 64,826   e  Bristow Group, Inc   496 
 1,890,200      Bumi Armada BHD   335 
 51,226   e,g  BW LPG Ltd   178 
 68,884   *  BW Offshore Ltd   173 
 124,806   *  C&J Energy Services, Inc   4,277 
 956,650      Cabot Oil & Gas Corp   23,993 
 385,209   *  Cairn Energy plc   865 
 84,535   *,e  California Resources Corp   723 
 748,380   *,e  Callon Petroleum Co   7,940 
 439,783      Caltex Australia Ltd   10,679 
 222,372   e  Cameco Corp (Toronto)   2,025 
 219,542   *,e  Canacol Energy Ltd   726 
 1,873,944      Canadian Natural Resources Ltd (Canada)   54,074 
 45,173   *,e  CARBO Ceramics, Inc   309 
 160,968   e  Cardinal Energy Ltd   598 
 128,631   *,e  Carrizo Oil & Gas, Inc   2,241 
 1,740,093      Cenovus Energy, Inc   12,825 
 2,172,093      Cenovus Energy, Inc (Toronto)   16,013 
 244,090   *,e  Centennial Resource Development, Inc   3,862 
 199,507   e  CES Energy Solutions Corp   889 
 909,363   *  Cheniere Energy, Inc   44,295 
 160,359      Chennai Petroleum Corp Ltd   877 
 1,488,446   *,e  Chesapeake Energy Corp   7,398 
 5,519,549      Chevron Corp   575,854 
 1,385,800   e  China Aviation Oil Singapore Corp Ltd   1,680 
 4,060,419   e  China Coal Energy Co   1,966 
 2,225,826      China Oilfield Services Ltd   1,783 
 9,043,295      China Shenhua Energy Co Ltd   20,120 
 9,214,000   e  China Suntien Green Energy Cor   1,663 
 234,424      Cimarex Energy Co   22,038 
 1,229,414   *  Clean Energy Fuels Corp   3,123 
 146,651   *  Cloud Peak Energy, Inc   518 
 17,405,646      CNOOC Ltd   19,098 
 1,493,414      Coal India Ltd   5,640 
 118   *,e  Cobalt International Energy, Inc    0^
 2,656,556   *  Concho Resources, Inc   322,851 
 1,526,749      ConocoPhillips   67,116 
 551,683   *  Consol Energy, Inc   8,242 
 93,662   *  Contango Oil & Gas Co   622 
 2,455,900   *  Continental Resources, Inc   79,399 
 2,511   e  Core Laboratories NV   254 
 204,528      Cosan SA Industria e Comercio   2,135 
 334,500      Cosmo Energy Holdings Co Ltd   5,279 
 287,366   e  Crescent Point Energy Corp   2,198 
 98,190   *  Crew Energy, Inc   304 
 80,760   e  CVR Energy, Inc   1,757 
 2,688,430   *  Dana Gas PJSC   467 
61

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 11,162      Delek Group Ltd  $2,439 
 1,358,285      Delek US Holdings, Inc   35,913 
 782,635   *,e  Denbury Resources, Inc   1,197 
 360,621   *,e  Denison Mines Corp   156 
 672,696      Devon Energy Corp   21,506 
 156,324      DHT Holdings, Inc   649 
 3,791,951      Dialog Group BHD   1,696 
 184,046   *,e  Diamond Offshore Drilling, Inc   1,993 
 1,480,609   *  Diamondback Energy, Inc   131,493 
 471,858   *,e  DNO International ASA   433 
 39,814   *  Dorian LPG Ltd   326 
 93,645   *  Dril-Quip, Inc   4,570 
 2,156      E1 Corp   122 
 35,207   *,e  Earthstone Energy, Inc   352 
 1,063,412   *  Eclipse Resources Corp   3,041 
 2,496,968      Ecopetrol S.A.   1,131 
 818,927      Empresas COPEC S.A.   8,943 
 236,713   e  Enagas   6,643 
 163,928   e  Enbridge Income Fund   4,069 
 45,193      Enbridge, Inc   1,799 
 2,455,724      Enbridge, Inc   97,828 
 614,442      EnCana Corp   5,406 
 120,385      Enerflex Ltd   1,747 
 509,384   *  Energen Corp   25,148 
 1,359,814      Energy Absolute PCL (Foreign)   1,380 
 1,168,600   m  Energy Earth PCL   38 
 1,053,134   *,e  Energy Resources of Australia Ltd   368 
 65,454   *  Energy XXI Gulf Coast, Inc   1,216 
 865,758      Enerplus Resources Fund   7,023 
 2,245,237      ENI S.p.A.   33,741 
 5,154,670   *  Enquest plc (London)   2,135 
 612,828   e  Ensco plc   3,162 
 268,386      Ensign Energy Services, Inc   1,434 
 4,840,683      EOG Resources, Inc   438,179 
 444,968   *,e  EP Energy Corp   1,629 
 311,698      EQT Corp   18,262 
 82,685   *  Era Group, Inc   782 
 2,849   *  Esso SA Francaise   188 
 8,418,200   *  Esso Thailand PCL (Foreign)   2,502 
 30,170   *,e  Etablissements Maurel et Prom   118 
 92,421   e  Euronav NV   731 
 83,257      Evolution Petroleum Corp   674 
 16,942   e  Exmar NV   81 
 187,587   *  Exterran Corp   5,009 
 266,429   *,e  Extraction Oil & Gas, Inc   3,583 
 630,237   e  Exxaro Resources Ltd   4,478 
 10,261,254   d  Exxon Mobil Corp   828,391 
 1,141,997   *,e  Ezion Holdings Ltd   195 
 306,374   *,e  Fairmount Santrol Holdings, Inc   1,195 
 224,837   *,e  Faroe Petroleum plc   243 
 4,644,825      Formosa Petrochemical Corp   16,019 
 136,058   *  Forum Energy Technologies, Inc   2,123 
 123,646   e  Frank’s International NV   1,025 
 64,310   e  Freehold Royalty Trust   647 
 149,868   e  Frontline Ltd   859 
 53,240   e  Frontline Ltd (Sigmax MTF)   301 
62

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 55,614   *  Fugro NV  $826 
 414,328      Galp Energia SGPS S.A.   6,279 
 254,045   e  GasLog Ltd   3,874 
 347,206   *,e  Gastar Exploration, Inc   322 
 8,356,807      Gazprom OAO (ADR)   33,099 
 76,406      Gazpromneft OAO (ADR)   1,169 
 57,773   e  Gaztransport Et Technigaz S.A.   2,308 
 94,315   *,e  Gener8 Maritime, Inc   537 
 6,775,000   *,e  Genesis Energy Holdings Ltd   162 
 26,498   *  Geospace Technologies Corp   366 
 95,828      Gibson Energy, Inc   1,239 
 189,559   e  Golar LNG Ltd   4,218 
 105,538      Great Eastern Shipping Co Ltd   664 
 314,360      Green Plains Renewable Energy, Inc   6,460 
 258,389   *  Grupa Lotos S.A.   3,558 
 39,376      GS Holdings Corp   2,347 
 131,044      Gujarat Mineral Development Corp Ltd   298 
 37,833      Gulf International Services OSC   214 
 33,779      Gulf Island Fabrication, Inc   392 
 528,179   *  Gulfport Energy Corp   7,791 
 120,193   *  Halcon Resources Corp   546 
 31,520      Hallador Energy Co   245 
 1,972,245      Halliburton Co   84,235 
 313      Hankook Shell Oil Co Ltd   110 
 314,759   *  Helix Energy Solutions Group, Inc   1,775 
 294,028   *  Hellenic Petroleum S.A.   2,786 
 254,044   e  Helmerich & Payne, Inc   13,805 
 543,326      Hess Corp   23,836 
 601,000      Hilong Holding Ltd   104 
 899,544      Hindustan Petroleum Corp Ltd   7,101 
 33,929      Hoegh LNG Holdings Ltd   338 
 302,234      HollyFrontier Corp   8,302 
 1,545,000   *  Honghua Group Ltd   138 
 99,086   *  Hunting plc   630 
 639,584   *,e  Hurricane Energy plc   271 
 321,169   *  Husky Energy, Inc   3,646 
 92,594      Idemitsu Kosan Co Ltd   2,634 
 264,563      Imperial Oil Ltd   7,712 
 205,717   *,e  Independence Contract Drilling, Inc   800 
 1,041,191   *  Indian Oil Corp Ltd   6,201 
 697,200      Inner Mongolia Yitai Coal Co   718 
 992,448      Inpex Holdings, Inc   9,583 
 972,052   e  Inter Pipeline Ltd   19,039 
 39,400   *  International Petroleum Corp   117 
 16,580   *  International Petroleum Corp   49 
 98,951   *  International Seaways, Inc   2,144 
 16,950,207      IRPC PCL (Foreign)   2,667 
 1,657   *,e  Isramco, Inc   190 
 166,253      Itochu Enex Co Ltd   1,474 
 867,937   *,e  Jagged Peak Energy, Inc   11,587 
 4,100   *,e  Japan Drilling Co Ltd   82 
 44,600      Japan Petroleum Exploration Co   932 
 9,775   *  Jerusalem Oil Exploration   587 
 1,691,795      John Wood Group plc   14,135 
 106,396   *,e  Jones Energy, Inc (Class A)   170 
 4,534,110      JX Holdings, Inc   19,839 
63

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 438,297   *,e  Karoon Gas Australia Ltd  $431 
 123,022   *,e  Keane Group, Inc   1,968 
 101,873   *  Kelt Exploration Ltd   493 
 20,237   *,e  Key Energy Services, Inc   389 
 345,886   e  Keyera Corp   10,888 
 7,658,341      Kinder Morgan, Inc   146,734 
 69,316      Koninklijke Vopak NV   3,212 
 475,772   *,e  Kosmos Energy LLC   3,050 
 297,963   *  Laredo Petroleum Holdings, Inc   3,135 
 83,587   *  Lilis Energy, Inc   410 
 364,614   *,e  Liquefied Natural Gas Ltd   155 
 9,488   *  Lubelski Wegiel Bogdanka S.A.   171 
 642,826      LUKOIL PJSC (ADR)   31,332 
 189,538   *  Lundin Petroleum AB   3,653 
 64,988   *,e  Mammoth Energy Services, Inc   1,209 
 1,679,855      Marathon Oil Corp   19,906 
 837,766      Marathon Petroleum Corp   43,840 
 3,242,908   *,e  Matador Resources Co   69,301 
 77,383   *  Matrix Service Co   724 
 2,168,971   *  McDermott International, Inc   15,552 
 4,374,982   *,e  MEG Energy Corp   12,854 
 33,814   *  Midstates Petroleum Co, Inc   428 
 848,000   *  MIE Holdings Corp   74 
 111,200      Modec, Inc   2,478 
 141,437      MOL Hungarian Oil and Gas plc   11,109 
 208,358      Motor Oil Hellas Corinth Refineries S.A.   4,535 
 197,969   e  Mullen Group Ltd   2,443 
 183,143      Murphy Oil Corp   4,694 
 1,287,249      Nabors Industries Ltd   10,478 
 56,298   *  Naphtha Israel Petroleum Corp Ltd   447 
 872,733      National Oilwell Varco, Inc   28,748 
 23,543   *  Natural Gas Services Group, Inc   585 
 166,619   e  Navios Maritime Acq Corp   245 
 64,719   *,e  NCS Multistage Holdings, Inc   1,630 
 322,447      Neste Oil Oyj   12,724 
 109,689      New Zealand Refining Co Ltd   196 
 599,028   *  Newfield Exploration Co   17,048 
 21,810,000   e  Newocean Energy Holdings Ltd   6,677 
 181,855   *  Newpark Resources, Inc   1,337 
 206,732   *  NexGen Energy Ltd   458 
 47,200      Nippon Gas Co Ltd   1,532 
 482,452   e  Noble Corp plc   1,747 
 655,768      Noble Energy, Inc   18,558 
 196,047   e  Nordic American Tanker Shipping   1,243 
 95,496   *,e  Nostrum Oil & Gas plc   602 
 144,012      NovaTek OAO (GDR)   16,062 
 137,606   *  NuVista Energy Ltd   695 
 587,349   *  Oasis Petroleum, Inc   4,728 
 380,815   *  Obsidian Energy Ltd   479 
 2,644,315      Occidental Petroleum Corp   158,315 
 36,666      Ocean Yield ASA   287 
 271,814      Oceaneering International, Inc   6,208 
 1,253,400      Oil & Gas Development Co Ltd   1,682 
 5,051,124      Oil Refineries Ltd   2,223 
 1,192,649      Oil Search Ltd   6,245 
 104,019   *  Oil States International, Inc   2,824 
64

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 301,923      OMV AG.  $15,683 
 205,216   e  Oneok, Inc   10,704 
 512,353   *  Ophir Energy plc   567 
 1,759,322   *  Origin Energy Ltd   9,276 
 420,758      Overseas Shipholding Group, Inc   1,119 
 279,813   *  Pacific Ethanol, Inc   1,749 
 73,959   *  Painted Pony Energy Ltd   270 
 58,300      Pakistan Oilfields Ltd   255 
 94,300      Pakistan State Oil Co Ltd   348 
 31,537      Panhandle Oil and Gas, Inc (Class A)   729 
 161,457   *,e  Pantheon Resources plc   107 
 122,796   *,e  Par Pacific Holdings, Inc   2,215 
 283,032   *  Paramount Resources Ltd (Class A)   4,166 
 470,038   *  Parex Resources, Inc   5,346 
 294,971   *  Parker Drilling Co   398 
 219,180      Parkland Fuel Corp   5,021 
 5,777,500   *  Parsley Energy, Inc   160,326 
 72,906      Pason Systems, Inc   1,087 
 674,266      Patterson-UTI Energy, Inc   13,613 
 5,155      Paz Oil Co Ltd   880 
 140,551   e  PBF Energy, Inc   3,129 
 146,352   *  PDC Energy, Inc   6,309 
 236,931   *  Peabody Energy Corp   5,793 
 404,039      Pembina Pipeline Income Fund   13,382 
 1,142,181   *,e  Pengrowth Energy Trust   898 
 28,085   *,e  Penn Virginia Corp   1,032 
 233,514      Petrofac Ltd   1,343 
 6,780,005   *  Petroleo Brasileiro S.A.   27,014 
 9,431,019   *  Petroleo Brasileiro S.A. (Preference)   35,214 
 207,033   *,e  Petroleum Geo-Services ASA   361 
 1,717,800      Petron   329 
 456,559      Petronas Dagangan BHD   2,563 
 284,666   e  Peyto Exploration & Development Corp   5,163 
 24,593   *  PHI, Inc   240 
 814,857      Phillips 66   67,381 
 148,982   *  Pioneer Energy Services Corp   305 
 703,070   n  Pioneer Natural Resources Co   112,196 
 3,551,630      Plains All American Pipeline LP   93,301 
 1,130,190      Plains GP Holdings LP   29,566 
 3,677,050      Polish Oil & Gas Co   6,273 
 423,477      Polski Koncern Naftowy Orlen S.A.   12,791 
 100,100   *,m  Poseidon Concepts Corp   1 
 203,284   e  PrairieSky Royalty Ltd   4,629 
 200,446   *  Precision Drilling Trust   685 
 3,413,905   *,e  Premier Oil plc   2,229 
 49,646   *  ProPetro Holding Corp   693 
 19,798,500   *  PT Bumi Resources Tbk   504 
 3,418,200   *  PT Delta Dunia Petroindo Tbk   218 
 711,600   *  PT Harum Energy Indonesia Tbk   107 
 2,489,800      PT Indo Tambangraya Megah   3,233 
 1,000,600   *  PT Medco Energi Internasional Tbk   172 
 18,113,600   *,m  PT Sugih Energy Tbk   155 
 495,480      PT Tambang Batubara Bukit Asam Tbk   445 
 2,080,506      PT United Tractors Tbk   4,282 
 1,478,821      PTT Exploration & Production PCL (Foreign)   3,750 
65

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,703,895      PTT PCL (Foreign)  $18,543 
 605,375      Qatar Gas Transport Co Ltd   2,818 
 439,900      QGEP Participacoes S.A.   797 
 654,267   *  Questar Market Resources, Inc   6,608 
 171,773   *  Raging River Exploration, Inc   1,072 
 591,604      Range Resources Corp   13,707 
 2,352,298   *  Reliance Industries Ltd   50,186 
 243,782   *,e  Renewable Energy Group, Inc   3,157 
 2,128,051      Repsol YPF S.A.   32,625 
 42,816   *,e  Resolute Energy Corp   1,275 
 11,664   *  Rex American Resources Corp   1,126 
 390,553   *  Rice Energy, Inc   10,400 
 25,177   *,e  RigNet, Inc   404 
 89,638   *  Ring Energy, Inc   1,165 
 3,946   *,e  Rosehill Resources, Inc   33 
 1,847,134      Rosneft Oil Co (GDR)   10,050 
 701,091   *,e  Rowan Cos plc   7,179 
 5,119,842      Royal Dutch Shell plc (A Shares)   136,028 
 4,928,180      Royal Dutch Shell plc (B Shares)   132,304 
 328,054   e  RPC, Inc   6,630 
 4,120,713   *  RSP Permian, Inc   132,975 
 453,588   *,e  Saipem S.p.A   1,680 
 36,100      San-Ai Oil Co Ltd   370 
 140,538   *,e  Sanchez Energy Corp   1,009 
 99,368   *,e  SandRidge Energy, Inc   1,710 
 1,903,424   *  Santos Ltd   4,427 
 4,185,376      Sapurakencana Petroleum BHD   1,549 
 1,866,773      Saras S.p.A.   4,351 
 573,095      Sasol Ltd   16,080 
 114,074      SBM Offshore NV   1,827 
 3,732,136      Schlumberger Ltd   245,724 
 8,121   e  Schoeller-Bleckmann Oilfield Equipment AG.   532 
 752,255   e  Scorpio Tankers, Inc   2,986 
 31,926   *  SEACOR Holdings, Inc   1,095 
 31,843   *,e  SEACOR Marine Holdings, Inc   648 
 275,031   *,e  Seadrill Ltd (Oslo Exchange)   101 
 340,472   e  Secure Energy Services, Inc   2,324 
 6,610   *,e  Select Energy Services, Inc   80 
 280,703      SemGroup Corp   7,579 
 348,500      Serba Dinamik Holdings Bhd   162 
 50   *,m  Serval Integrated Energy Services    0 
 515,688   *  Seven Generations Energy Ltd   8,832 
 92      Shanxi Guoxin Energy Corp Ltd    0^
 46,722      ShawCor Ltd   954 
 168,200      Shinko Plantech Co Ltd   1,302 
 118,961   e  Ship Finance International Ltd   1,618 
 359,165   e  Showa Shell Sekiyu KK   3,336 
 3,206,100      Siamgas & Petrochemicals PCL (Foreign)   1,330 
 13,575   *  SilverBow Resources, Inc   355 
 3,700      Sinanen Co Ltd   75 
 660,000   e  Sinopec Kantons Holdings Ltd   364 
 211,099      SK Energy Co Ltd   29,236 
 17,233      SK Gas Co Ltd   1,944 
 234,654      SM Energy Co   3,879 
 78,467   *,e  Smart Sand, Inc   699 
 1,777,636      Snam Rete Gas S.p.A.   7,758 
66

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 144,523      Soco International plc  $220 
 55,981      S-Oil Corp   4,638 
 99,682   *,e  Solaris Oilfield Infrastructure, Inc   1,149 
 403,803   *,e  Sound Energy plc   405 
 1,336,575   *  Southwestern Energy Co   8,126 
 113,736   *  Spartan Energy Corp   539 
 396,697   *,e  SRC Energy, Inc   2,670 
 3,784,862     Statoil ASA   62,761 
 526,337      Stobart Group Ltd   2,031 
 71,607   *  Stone Energy Corp   1,316 
 740,100      Subsea 7 S.A.   9,979 
 2,647,336      Suncor Energy, Inc   77,350 
 479,033   *  Superior Energy Services   4,996 
 652,922   e  Surge Energy, Inc   1,052 
 1,640,572      Surgutneftegaz (ADR)   7,060 
 354,200      Surgutneftegaz (ADR) (London)   1,520 
 83,538   *  Tamarack Valley Energy Ltd   144 
 1,557,846      Targa Resources Investments, Inc   70,415 
 259,403      Tatneft PAO (ADR)   9,780 
 4,254   *  TechnipFMC plc   115 
 35,586   *  TechnipFMC plc   968 
 140,780      Tecnicas Reunidas S.A.   5,455 
 108,152   e  Teekay Corp   721 
 234,134   e  Teekay Tankers Ltd (Class A)   440 
 133,078   *,e  Tellurian, Inc   1,335 
 407,105      Tenaris S.A.   6,356 
 148,975   *  Tesco Corp   663 
 276,844   b  Tesoro Corp   25,913 
 23,017      Tethys Oil AB   160 
 562,331   *  Tetra Technologies, Inc   1,569 
 70,156      TGS Nopec Geophysical Co ASA   1,439 
 3,042,455      Thai Oil PCL (Foreign)   7,072 
 71,104      TMK OAO (GDR)   377 
 118,004   e  TORC Oil & Gas Ltd   461 
 51,174   e  TORM plc   499 
 58,563      Total Energy Services, Inc   601 
 2,820,686     Total S.A.   140,039 
 123,078   *  Tourmaline Oil Corp   2,646 
 388,000      Toyo Kanetsu K K   1,068 
 1,538,145   e  TransCanada Corp   73,325 
 1,124   *  Transocean Ltd   9 
 2,189,869   *,e  Transocean Ltd (NYSE)   18,023 
 363,052   *  Trican Well Service Ltd   1,016 
 44,128   *  Trilogy Energy Corp   166 
 211,397   *  Trinidad Drilling Ltd   318 
 957,386   *,e  Tullow Oil plc   1,882 
 177,922      Tupras Turkiye Petrol Rafine   5,119 
 786,347   *  Ultra Petroleum Corp   8,532 
 426,494      Ultrapar Participacoes S.A.   9,980 
 516,700   *  UMW Oil & Gas Corp BHD   53 
 376,445   *  Unit Corp   7,051 
 268,109   *,e  Uranium Energy Corp   426 
 210,675   e  US Silica Holdings Inc   7,477 
 1,268,593      Valero Energy Corp   85,579 
 211,822   *,e  Vallourec SA   1,289 
67

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 34,451      Verbio AG.  $388 
 935,759      Veresen, Inc   13,234 
 52,372   e  Vermilion Energy, Inc   1,661 
 106,874      VTTI Energy Partners LP   2,100 
 179,338   *,e  W&T Offshore, Inc   352 
 5,198,060   *,e  Weatherford International Ltd   20,117 
 115,684   *  Westmoreland Coal Co   563 
 245,725   e  Whitecap Resources, Inc   1,755 
 1,216,445   *  Whitehaven Coal Ltd   2,683 
 914,921   *  Whiting Petroleum Corp   5,041 
 40,034   *,e  WildHorse Resource Development Corp   495 
 317,927   *  Willbros Group, Inc   785 
 6,717,145   n  Williams Cos, Inc   203,395 
 2,048,000   *  Wison Engineering Services Co Ltd   262 
 1,307,061      Woodside Petroleum Ltd   29,983 
 285,440      World Fuel Services Corp   10,975 
 165,972   *  WorleyParsons Ltd   1,430 
 3,537,091   *,n  WPX Energy, Inc   34,168 
 4,860,000   *  Yanchang Petroleum International Ltd   108 
 2,879,066   e  Yanzhou Coal Mining Co Ltd   2,581 
 324,300      Yinson Holdings BHD   277 
 167,710      YPF S.A. (ADR) (Class D)   3,673 
 440,450      Z Energy Ltd   2,550 
        TOTAL ENERGY   7,114,117 
                
FOOD & STAPLES RETAILING - 1.4%        
 794,000      7-Eleven Malaysia Holdings BHD   253 
 470,344      Aeon Co Ltd   7,154 
 17,200      Ain Pharmaciez Inc   1,245 
 1,811      Al Meera Consumer Goods Co   67 
 389,852      Alimentation Couche Tard, Inc   18,687 
 1,743,962      Almacenes Exito S.A.   8,779 
 62,364      Andersons, Inc   2,130 
 76,144      Arcs Co Ltd   1,649 
 230,220      Axfood AB   3,844 
 27,700      Axial Retailing, Inc   1,059 
 22,000      Belc Co Ltd   1,097 
 20,577      BGF retail Co Ltd   1,818 
 769,416      Bid Corp Ltd   17,576 
 209,033      BIM Birlesik Magazalar AS   3,876 
 3,080,278      Booker Group plc   7,470 
 528,636   *  Carrefour S.A.   13,365 
 105,756   e  Casey’s General Stores, Inc   11,328 
 144,124      Casino Guichard Perrachon S.A.   8,536 
 50,800      Cawachi Ltd   1,230 
 2,079,541      Centros Comerciales Sudamericanos S.A.   5,524 
 38,527   *,e  Chefs’ Warehouse Holdings, Inc   501 
 576,817   *  Cia Brasileira de Distribuicao Grupo Pao de Acucar   11,343 
 4,048      CJ Freshway Corp   147 
 174,903      Clicks Group Ltd   1,869 
 12,660      Cocokara Fine Holdings, Inc   626 
 26,345      Colruyt S.A.   1,388 
 391,229      Conviviality plc   1,569 
 6,112,000      Cosco Capital, Inc   956 
 11,400      Cosmos Pharmaceutical Corp   2,221 
 531,500      CP Seven Eleven PCL   981 
68

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 4,578,329      CP Seven Eleven PCL (Foreign)  $8,452 
 86,200      Create SD Holdings Co Ltd   1,996 
 1,960,726      CVS Health Corp   157,760 
 5,200      Daikokutenbussaan Co Ltd   263 
 199,976      Dis-Chem Pharmacies Ltd   424 
 188,008   e  Distribuidora Internacional de Alimentacion S.A.   1,173 
 31,254      Dongsuh Co, Inc   836 
 32,179      E-Mart Co Ltd   6,593 
 155,511      Empire Co Ltd   2,653 
 80,734      Eurocash S.A.   675 
 95,491      FamilyMart Co Ltd   5,468 
 58,394      George Weston Ltd   5,286 
 85,200      Growell Holdings Co Ltd   3,154 
 217,900   e  Grupo Comercial Chedraui S.a. DE C.V.   446 
 27,475      GS Retail Co Ltd   1,239 
 5,100      Halows Co Ltd   107 
 21,200      Heiwado Co Ltd   454 
 33,454      Hyundai Greenfood Co Ltd   517 
 286,770   e  ICA Gruppen AB   10,683 
 27,291      Ingles Markets, Inc (Class A)   909 
 7,700      Itochu-Shokuhin Co Ltd   324 
 2,097,470      J Sainsbury plc   6,880 
 167,459      Jean Coutu Group PJC, Inc   2,570 
 424,164      Jeronimo Martins SGPS S.A.   8,281 
 7,700   e  Kansai Super Market Ltd   106 
 16,300      Kato Sangyo Co Ltd   438 
 69,867      Kesko Oyj (B Shares)   3,554 
 26,700      Kobe Bussan Co Ltd   1,266 
 3,426,927      Koninklijke Ahold Delhaize NV   65,410 
 2,510,374      Kroger Co   58,542 
 19,300   n  Kusuri no Aoki Holdings Co Ltd   1,011 
 205,700   *,e  La Comer SAB de C.V.   185 
 263,514      Lawson, Inc   18,442 
 287,000   *,e  Lianhua Supermarket Holdings Co Ltd   137 
 11,200      Life Corp   315 
 359,936      Loblaw Cos Ltd   20,023 
 644,000   *,e  Madison Wine Holdings Ltd   197 
 430,579      Magnit OAO (GDR)   14,632 
 37,792   e  Majestic Wine plc   158 
 484,000   *,e  Major Holdings Ltd   11 
 57,126   e  MARR S.p.A.   1,359 
 100,626      Massmart Holdings Ltd   811 
 99,200      Matsumotokiyoshi Holdings Co Ltd   5,651 
 1,745,337   *,e  Metcash Ltd   3,220 
 96,072   *  Metro AG.   3,246 
 572,634      Metro, Inc   18,846 
 18,761   *  Migros Ticaret AS   147 
 9,400      Ministop Co Ltd   197 
 19,747   *,e  Natural Grocers by Vitamin C   163 
 9,000   e  Nihon Chouzai Co Ltd   286 
 162,009   e  North West Co, Inc   3,905 
 42,000      Okuwa Co Ltd   484 
 2,000      Olam International Ltd   3 
 396,021   *  Performance Food Group Co   10,851 
 374,491      Pick’n Pay Stores Ltd   1,689 
 2,073,822      President Chain Store Corp   18,634 
69

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 43,676      Pricesmart, Inc  $3,826 
 687,100      PT Matahari Putra Prima Tbk   36 
 22,000,000   *  PT Modern Internasional Tbk   82 
 11,700      Qol Co Ltd   176 
 232,102      Raia Drogasil S.A.   4,912 
 86,547      Rallye S.A.   1,782 
 17,531      Rami Levi Chain Stores Hashikma Marketing 2006 Ltd   861 
 1,648,223   *  Rite Aid Corp   4,862 
 515,620      Robinsons Retail Holdings, Inc   888 
 10,079      Ryoshoku Ltd   290 
 12,500      San-A Co Ltd   553 
 824,073      Seven & I Holdings Co Ltd   34,005 
 385,400   e  Sheng Siong Group Ltd   277 
 7,500   *  Shoei Foods Corp   221 
 699,616      Shoprite Holdings Ltd   10,668 
 267,457      Shufersal Ltd   1,403 
 47,086   *  Smart & Final Stores, Inc   428 
 19,000      Sogo Medical Co Ltd   820 
 427,159   e  Sonae SPGS S.A.   475 
 191,689      Spar Group Ltd   2,258 
 219,186      Spartan Stores, Inc   5,690 
 784,000      Springland International Holdings Ltd   155 
 254,032   *  Sprouts Farmers Market, Inc   5,759 
 25,400      Sugi Pharmacy Co Ltd   1,361 
 2,500,027      Sun Art Retail Group Ltd   1,990 
 68,212      Sundrug Co Ltd   2,544 
 1,483,471   *  Supervalu, Inc   4,881 
 750,927      Sysco Corp   37,794 
 574,000      Taiwan TEA Corp   310 
 21,979,718   *  Tesco plc   48,391 
 27,900      Tsuruha Holdings, Inc   2,965 
 233,898   *  United Natural Foods, Inc   8,584 
 140,500      United Super Markets Holdings, Inc   1,486 
 1,909,754   *  US Foods Holding Corp   51,983 
 64,900      Valor Co Ltd   1,475 
 15,011      Village Super Market (Class A)   389 
 3,372,655      Walgreens Boots Alliance, Inc   264,113 
 7,662,150      Wal-Mart de Mexico SAB de C.V.   17,787 
 5,078,299      Wal-Mart Stores, Inc   384,326 
 18,855      Weis Markets, Inc   919 
 1,030,513      Wesfarmers Ltd   31,776 
 606,142      Whole Foods Market, Inc   25,525 
 4,379,385      WM Morrison Supermarkets plc   13,755 
 1,071,701      Woolworths Ltd   21,036 
 9,000   *  X 5 Retail Group NV (GDR)   312 
 7,400   e  Yakuodo Co Ltd   217 
 32,900      Yaoko Co Ltd   1,410 
 26,000   e  Yokohama Reito Co Ltd   245 
        TOTAL FOOD & STAPLES RETAILING   1,625,351 
                
FOOD, BEVERAGE & TOBACCO - 5.0%      
 1,064,741   *,e  a2 Milk Co Ltd   3,122 
 19,849      AarhusKarlshamn AB   1,450 
 554,118   *  Adecoagro S.A.   5,536 
 13,721   e  AGT Food & Ingredients, Inc   246 
 252,930      Agthia Group PJSC   385 
70

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 413,785      Ajinomoto Co, Inc  $8,948 
 7,386      Alico, Inc   231 
 4,680,242      Altria Group, Inc   348,538 
 5,139,174      AMBEV S.A.   28,404 
 65,145   *,e  Amplify Snack Brands, Inc   628 
 186,546      Anadolu Efes Biracilik Ve Malt Sanayii AS   1,158 
 403,451      Anheuser-Busch InBev S.A.   44,561 
 89,100      Anhui Gujing Distillery Co Ltd   387 
 613,132      Archer Daniels Midland Co   25,371 
 12,100      Ariake Japan Co Ltd   843 
 74,513   e  Aryzta AG.   2,457 
 399,640      Asahi Breweries Ltd   15,051 
 1,444,819      Associated British Foods plc   55,289 
 58,373      Astral Foods Ltd   660 
 14,539      Atria Group plc   170 
 65,341      Austevoll Seafood ASA   555 
 271,618   *,e  Australian Agricultural Co Ltd   387 
 7,642   *  Avanti Feeds Ltd   177 
 655,544      AVI Ltd   4,760 
 130,117   e  B&G Foods, Inc (Class A)   4,632 
 120,260      Bakkafrost P   4,528 
 222,599      Balrampur Chini Mills Ltd   519 
 2,162      Barry Callebaut AG.   2,976 
 4,973,541   *  Becle SAB de C.V.   8,476 
 314,901   e  Bega Cheese Ltd   1,576 
 988      Bell AG.   473 
 47,891   e  Bellamy’s Australia Ltd   254 
 12,095   *,e  Belvedere S.A.   217 
 18,226      Binggrae Co Ltd   1,086 
 138,799   *,e  Biostime International Holdings Ltd   351 
 226,758   *  Blue Buffalo Pet Products, Inc   5,172 
 27,480      Bonduelle S.C.A.   1,030 
 32,532   *,e  Boston Beer Co, Inc (Class A)   4,299 
 353,286      BRF S.A.   4,180 
 151,304      British American Tobacco Malaysia BHD   1,530 
 4,279,019      British American Tobacco plc   291,585 
 2,627,921      Britvic plc   23,686 
 98,034      Brown-Forman Corp   4,833 
 186,745      Brown-Forman Corp (Class B)   9,076 
 260,500      Bumitama Agri Ltd   142 
 833,610      Bunge Ltd   62,187 
 211,467      C&C Group plc   777 
 47,512   e  Calavo Growers, Inc   3,281 
 67,274      Calbee, Inc   2,646 
 61,739   *,e  Cal-Maine Foods, Inc   2,445 
 499,697      Campbell Soup Co   26,059 
 53,922      Carlsberg AS (Class B)   5,762 
 179,600      Carlsberg Brewery-Malay BHD   628 
 171,214   *,e  Castle Brands, Inc   294 
 698,200      Century Pacific Food, Inc   249 
 2,054,000      Charoen Pokphand Enterprise   5,039 
 15,109,672      Charoen Pokphand Foods PCL   11,024 
 291,500      Charoen Pokphand Foods Public Co Ltd   213 
 6,618,000      China Agri-Industries Holdings Ltd   2,745 
 4,375,889   e,m  China Huishan Dairy Holdings Co Ltd   118 
 370,000   *  China Huiyuan Juice Group Ltd   116 
71

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,962,946      China Mengniu Dairy Co Ltd  $5,810 
 984,000   *,e  China Modern Dairy Holdings   195 
 1,811,164      China Resources Beer Holdings Company Ltd   4,568 
 3,951,000   *,e,g  China Shengmu Organic Milk Ltd   789 
 988,000   *,e  China Yurun Food Group Ltd   130 
 401,315      Cia Cervecerias Unidas S.A.   5,263 
 8,371      CJ CheilJedang Corp   2,644 
 49,148   e  Clearwater Seafoods, Inc   433 
 159,756      Cloetta AB   658 
 230,040      Clover Industries Ltd   291 
 540,008      Coca-Cola Amatil Ltd   3,832 
 9,270      Coca-Cola Bottling Co Consolidated   2,122 
 7,751,632      Coca-Cola Co   347,661 
 200,037      Coca-Cola European Partners plc   8,105 
 465,541      Coca-Cola European Partners plc (Class A)   18,934 
 1,064,227      Coca-Cola Femsa S.A. de C.V.   9,017 
 391,275      Coca-Cola HBC AG.   11,507 
 72,094      Coca-Cola Icecek AS   827 
 85,300      Coca-Cola West Japan Co Ltd   2,470 
 2,194,000      Cofco International Ltd   930 
 1,670,000   *,e  COFCO Meat Holdings Ltd   334 
 4,067,231      ConAgra Foods, Inc   145,444 
 342,722      Constellation Brands, Inc (Class A)   66,396 
 7,469      Corby Spirit and Wine Ltd   122 
 448,192      Costa Group Holdings Ltd   1,672 
 1,429,811      Costco Wholesale Corp   228,670 
 92,537      Cott Corp (Toronto)   1,337 
 25,225   *  Craft Brewers Alliance, Inc   425 
 22,581      Crown Confectionery Co Ltd   479 
 262      Dae Han Flour Mills Co Ltd   43 
 84,858      Daesang Corp   1,962 
 47,347      Daesang Holdings Co Ltd   466 
 219,559   e  Dairy Crest Group plc   1,713 
 568,323   *  Darling International, Inc   8,945 
 8,291,418      Davide Campari-Milano S.p.A   58,618 
 179,582      Dean Foods Co   3,053 
 2,373,369      Diageo plc   70,137 
 786      Dongwon F&B Co Ltd   167 
 2,961      Dongwon Industries Co Ltd   836 
 527,871      Dr Pepper Snapple Group, Inc   48,094 
 5,900      Dydo Drinco, Inc   297 
 1,214,000   *,e,m  Dynasty Fine Wines Group Ltd   2 
 189,517      Easy Bio, Inc   1,115 
 95,606      Ebro Puleva S.A.   2,184 
 232,049      Embotelladora Andina S.A.   982 
 1,696,601      Embotelladoras Arca SAB de C.V.   12,750 
 1,672      Emmi AG.   1,259 
 30,100      Ezaki Glico Co Ltd   1,621 
 16,918   *  Farmer Bros Co   512 
 60,224      Farmsco   700 
 1,457,804      Felda Global Ventures Holdings BHD   581 
 794,109      Fevertree Drinks plc   17,665 
 1,378,268   e  First Resources Ltd   1,897 
 296,051   e  Flowers Foods, Inc   5,125 
 2,035,763      Fomento Economico Mexicano S.A. de C.V.   20,052 
 352,536   e  Fonterra Shareholders’ Fund   1,550 
72

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 14,968      ForFarmers NV  $169 
 58,220      Freedom Foods Group Ltd   215 
 258,707      Fresh Del Monte Produce, Inc   13,171 
 48,297   *,e  Freshpet, Inc   802 
 258,973      Fuji Oil Co Ltd   5,991 
 14,032      Fujicco Co Ltd   321 
 7,400      Fujiya Co Ltd   165 
 636,447      General Mills, Inc   35,259 
 251,314      Genting Plantations BHD   646 
 1,719,000      GFPT PCL (Foreign)   981 
 128,394      Glanbia plc   2,511 
 8,146      Godfrey Phillips India Ltd   158 
 5,341,434      Golden Agri-Resources Ltd   1,455 
 729,132      GrainCorp Ltd-A   5,308 
 1,291,272      Great Wall Enterprise Co   1,371 
 469,196      Greencore Group plc   1,504 
 67,107   e  Greenyard Foods   1,590 
 337,980      Grieg Seafood ASA   2,354 
 1,574,315      Groupe Danone   118,164 
 219,280      Gruma SAB de C.V.   2,860 
 1,596,516      Grupo Bimbo S.A. de C.V. (Series A)   4,011 
 144,495      Grupo Herdez SAB de C.V.   312 
 599,248   e  Grupo Lala SAB de C.V.   1,098 
 141,245   *  Hain Celestial Group, Inc   5,483 
 3,919      Haitai Confectionery & Foods Co Ltd   64 
 578,440      Harim & Co Ltd   2,545 
 47,523      Heineken Holding NV   4,356 
 847,523      Heineken NV   82,409 
 595,575      Hershey Co   63,947 
 37,039      High Liner Foods, Inc   500 
 65,800      Hokuto Corp   1,158 
 161,000   e,g  Honworld Group Ltd   87 
 344,051      Hormel Foods Corp   11,736 
 158,066   *,e  Hostess Brands, Inc   2,545 
 28,117   *  Hotel Chocolat Group Ltd   129 
 40,952      House Foods Corp   1,027 
 477,200      Ichitan Group PCL   123 
 298,631      Imperial Tobacco Group plc   13,420 
 810,078      Indofood Agri Resources Ltd   283 
 2,325,030      Indofood CBP Sukses Makmur Tbk   1,536 
 380,800   e  Industrias Bachoco SAB de C.V.   1,820 
 135,351   e  Inghams Group Ltd   351 
 218,149      Ingredion, Inc   26,006 
 2,346,897      IOI Corp BHD   2,432 
 5,599,443      ITC Ltd   28,011 
 35,700      Ito En Ltd   1,303 
 184,500      Itoham Yonekyu Holdings, Inc   1,674 
 59,501      J&J Snack Foods Corp   7,858 
 141,140      J.M. Smucker Co   16,701 
 1,692,209      Japan Tobacco, Inc   59,478 
 868,300   e  Japfa Ltd   406 
 684,997      JBS S.A.   1,350 
 17,092      Jinro Ltd   348 
 35,753      John B. Sanfilippo & Son, Inc   2,256 
 8,800      J-Oil Mills, Inc   313 
 367,625      Juhayna Food Industries   158 
73

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 49,873      Kagome Co Ltd  $1,519 
 9,100      Kameda Seika Co Ltd   445 
 69,597      Kaveri Seed Co Ltd   703 
 427,511      Kellogg Co   29,695 
 7,400   e  Kenko Mayonnaise Co Ltd   213 
 559,421      Kerry Group plc (Class A)   48,132 
 37,900      KEY Coffee, Inc   742 
 2,044,660      Khon Kaen Sugar Industry PCL   272 
 111,871      Kikkoman Corp   3,579 
 1,124,490      Kirin Brewery Co Ltd   22,938 
 51,396      Koninklijke Wessanen NV   871 
 15,400      Kotobuki Spirits Co Ltd   504 
 4,012,472      Kraft Heinz Co   343,628 
 82,508      KRBL Ltd   483 
 298,994      KT&G Corp   30,585 
 458,351      Kuala Lumpur Kepong BHD   2,656 
 1,395      KWS Saat AG.   549 
 34,458      La Doria S.p.A   411 
 625,150      Lamb Weston Holdings, Inc   27,532 
 70,646      Lancaster Colony Corp   8,663 
 55,928   *  Landec Corp   831 
 1,115,312      Leroy Seafood Group ASA   6,057 
 637,000   *,e  Leyou Technologies Holdings Ltd   160 
 480,432      Lien Hwa Industrial Corp   445 
 11,540   *  Lifeway Foods, Inc   108 
 24,812   e  Limoneira Co   586 
 255      Lindt & Spruengli AG.   1,479 
 27      Lindt & Spruengli AG. (Registered)   1,883 
 648      Lotte Chilsung Beverage Co Ltd   971 
 5,913      Lotte Confectionery Co Ltd   1,025 
 465      Lotte Samkang Co Ltd   259 
 307,180      M Dias Branco S.A.   4,571 
 18,940   *  Maeil Dairies Co Ltd   1,237 
 17,011      Maeil Dairy Industry Co Ltd   407 
 138,600      Malee Group PCL   162 
 61,460      Maple Leaf Foods, Inc   1,552 
 153,500   *  Marfrig Global Foods S.A.   313 
 198,000      Marudai Food Co Ltd   927 
 236,400      Maruha Nichiro Corp   6,249 
 123,147      McCormick & Co, Inc   12,008 
 37,367      McLeod Russel India Ltd   100 
 121,400      Megmilk Snow Brand Co Ltd   3,382 
 90,768      MEIJI Holdings Co Ltd   7,360 
 25,560   e  Mgp Ingredients, Inc   1,308 
 77,300      Minerva S.A.   287 
 68,600      Mitsui Sugar Co Ltd   1,987 
 1,695,040      Molson Coors Brewing Co (Class B)   146,350 
 7,418,080      Mondelez International, Inc   320,387 
 4,327,876   *  Monster Beverage Corp   215,009 
 53,860      Morinaga & Co Ltd   3,054 
 155,000      Morinaga Milk Industry Co Ltd   1,178 
 29,397      Muhak Co Ltd   610 
 13,000      Nagatanien Co Ltd   164 
 55,000      Namchow Chemical Industrial Ltd   116 
 252      Namyang Dairy Products Co Ltd   168 
 70,593   e  National Beverage Corp   6,605 
74

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 4,361   *,e  Naturex  $460 
 33,079      Nestle India Ltd   3,447 
 3,010,407      Nestle S.A.   262,561 
 183,900      Nichirei Corp   5,157 
 5,900      Nippon Beet Sugar Manufacturing Co Ltd   113 
 125,500      Nippon Flour Mills Co Ltd   2,014 
 357,705      Nippon Meat Packers, Inc   10,881 
 439,113      Nippon Suisan Kaisha Ltd   2,573 
 457,000      Nisshin Oillio Group Ltd   2,680 
 241,907      Nisshin Seifun Group, Inc   3,977 
 49,673      Nissin Food Products Co Ltd   3,106 
 2,219      Nong Shim Co Ltd   655 
 1,111      Nong Shim Holdings Co Ltd   119 
 45,084      Norway Royal Salmon ASA   688 
 90,011      Oceana Group Ltd   625 
 183,878      Omega Protein Corp   3,291 
 246,944      Origin Enterprises plc   1,800 
 5,433   m  Orion Corp   3,789 
 11,712      Orior AG.   931 
 268,333      Orkla ASA   2,727 
 1,220      Ottogi Corp   842 
 1,112,762      PAN Fish ASA   19,038 
 3,901,416      PepsiCo, Inc   450,574 
 42,097      Pernod-Ricard S.A.   5,637 
 615      Philip Morris CR   406 
 4,640,316      Philip Morris International, Inc   545,005 
 142,642   *  Pilgrim’s Pride Corp   3,127 
 2,791,859      Pinnacle Foods, Inc   165,836 
 123,418      Pioneer Foods Ltd   1,278 
 939,746   *,n  Post Holdings, Inc   72,971 
 515,391      PPB Group BHD   2,060 
 474,110   *  Premier Foods plc   250 
 67,330      Premium Brands Holdings Corp   4,831 
 676,000      Prima Meat Packers Ltd   3,971 
 50,167   *  Primo Water Corp   637 
 5,692,200      PT Austindo Nusantara Jaya   677 
 7,410,700   *  PT BW Plantation Tbk   136 
 6,482,218      PT Charoen Pokphand Indonesia Tbk   1,541 
 1,114,311      PT Gudang Garam Tbk   6,552 
 9,213,000      PT Hanjaya Mandala Sampoerna Tbk   2,654 
 4,467,591      PT Indofood Sukses Makmur Tbk   2,885 
 2,957,700      PT Japfa Comfeed Indonesia Tbk   301 
 956,900      PT Nippon Indosari Corpindo Tbk   88 
 2,004,900      PT Perusahaan Perkebunan London Sumatra Indonesia Tbk   206 
 7,021,600      PT Salim Ivomas Pratama Tbk   290 
 1,454,500      PT Sawit Sumbermas Sarana Tbk   183 
 1,915,500      PT Tunas Baru Lampung Tbk   212 
 63      Pulmuone Co Ltd   7 
 132,100      Q.P. Corp   3,469 
 608,859      QAF Ltd   562 
 775,850      QL Resources BHD   893 
 40,447   g  Refresco Gerber NV   825 
 250,218      Remy Cointreau S.A.   29,166 
 932,129      Reynolds American, Inc   60,626 
 12,000,000      RFM Corp   1,058 
75

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 88,003      Rhodes Food Group Pty Ltd  $153 
 15,800      Riken Vitamin Co Ltd   619 
 56,600      Rock Field Co Ltd   973 
 275,423   e  Rogers Sugar, Inc   1,347 
 24,300      Rokko Butter Co Ltd   575 
 134,365      Royal Unibrew A.S.   6,445 
 10,800      S Foods, Inc   397 
 1,891      Sajo Industries Co Ltd   133 
 20,855      Sakata Seed Corp   649 
 239,863      Salmar ASA   5,946 
 1,549      Samlip General Foods Co Ltd   246 
 2,054      Samyang Corp   185 
 2,307      Samyang Foods Co Ltd   102 
 10,290      Samyang Holdings Corp   1,102 
 55,202      Sanderson Farms, Inc   6,384 
 115,300      Sao Martinho S.A.   599 
 202,100      Sapporo Holdings Ltd   5,572 
 176,732      Saputo, Inc   5,622 
 33,697      Scandi Standard AB   244 
 95,040      Scandinavian Tobacco Group A.S.   1,547 
 66,117      Schouw & Co   7,095 
 549      Seaboard Corp   2,193 
 46,998   e  Select Harvests Ltd   177 
 13,006   *  Seneca Foods Corp   404 
 227,100   *  Shanghai Dajiang Group   126 
 70,000   e  Showa Sangyo Co Ltd   385 
 41,200      SLC Agricola S.A.   262 
 167,187      Snyder’s-Lance, Inc   5,788 
 425,290      Standard Foods Corp   1,142 
 4,400      Starzen Co Ltd   192 
 314,215      Stock Spirits Group plc   696 
 35,524      Strauss Group Ltd   695 
 47,747      Suedzucker AG.   997 
 321,783      Suntory Beverage & Food Ltd   14,957 
 185,920      Swedish Match AB   6,550 
 109,100      Takara Holdings, Inc   1,138 
 147,400      Taokaenoi Food & Marketing PCL   97 
 361,332      Tassal Group Ltd   1,058 
 468,899      Tata Tea Ltd   1,092 
 915,247      Tate & Lyle plc   7,888 
 1,933,000   e  Tenwow International Holdings Ltd   384 
 1,424,909      Thai Union Group PCL   885 
 205,300      Thai Union Group PCL   128 
 1,225,000      Thai Vegetable Oil PCL   1,091 
 1,222,600   *  Thaifoods Group PCL   219 
 1,691,000   e  Tibet 5100 Water Resources Holdings Ltd   661 
 1,366,600   *  Tiga Pilar Sejahtera Food Tbk   171 
 182,845      Tiger Brands Ltd   5,141 
 2,107,190      Tingyi Cayman Islands Holding Corp   2,500 
 73,522      Tongaat Hulett Ltd   655 
 34,680   e  Tootsie Roll Industries, Inc   1,209 
 72,546      Toyo Suisan Kaisha Ltd   2,783 
 766,354      Treasury Wine Estates Ltd   7,749 
 146,724   *,e  TreeHouse Foods, Inc   11,986 
 417,579      Tsingtao Brewery Co Ltd   1,848 
 164,000      Ttet Union Corp   514 
76

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 10,822   *  Turning Point Brands, Inc  $166 
 800,004      Tyson Foods, Inc (Class A)   50,104 
 157,654      Ulker Biskuvi Sanayi AS   995 
 5,063,977      Uni-President Enterprises Corp   10,150 
 70,325   *  United Spirits Ltd   2,609 
 48,605      Universal Corp   3,145 
 958,914      Universal Robina   3,098 
 392,903      Vector Group Ltd   8,377 
 583,056      Vina Concha y Toro S.A.   901 
 26,424      Viscofan S.A.   1,566 
 3,518,614   e  Want Want China Holdings Ltd   2,374 
 42,600      Warabeya Nichiyo Co Ltd   1,176 
 287,000   *  Wei Chuan Food Corp   178 
 15,130,818   g  WH Group Ltd   15,279 
 1,942,808      Wilmar International Ltd   4,726 
 81,631      Yakult Honsha Co Ltd   5,564 
 155,916      Yamazaki Baking Co Ltd   3,108 
 645,000   e  Yashili International   125 
 261,000      Yihai International Holding Ltd   164 
 2,528,000   *  YuanShengTai Dairy Farm Ltd   120 
 466,500   e  Zhou Hei Ya International Holdings Co Ltd   468 
 10,223      Zydus Wellness Ltd   134 
        TOTAL FOOD, BEVERAGE & TOBACCO   5,937,164 
                
HEALTH CARE EQUIPMENT & SERVICES - 4.4%        
 19,451   *,e  AAC Holdings, Inc   135 
 43,092      Abaxis, Inc   2,285 
 8,070,953      Abbott Laboratories   392,329 
 104,369   *  Abiomed, Inc   14,956 
 244,086   *,e  Acadia Healthcare Co, Inc   12,053 
 157,856   *  Accuray, Inc   750 
 160,053      Aceto Corp   2,473 
 22,589   *  Addus HomeCare Corp   840 
 134,857      Advanced Medical Solutions Group plc   509 
 883,063      Aetna Inc   134,075 
 491,896   *  AGFA-Gevaert NV   2,393 
 155,808   *  Alere, Inc   7,820 
 252,255      Alfresa Holdings Corp   4,877 
 3,562,659   *,e  Alibaba Health Information Technology Ltd   1,696 
 93,211   *  Align Technology, Inc   13,993 
 29,600   *  Alliar Medicos A Frente S.A.   157 
 484,098   *  Allscripts Healthcare Solutions, Inc   6,177 
 25,144   *  Almost Family, Inc   1,550 
 28,777      Ambu A.S.   1,855 
 70,977   *  Amedisys, Inc   4,458 
 19,011   *,e  American Renal Associates Holdings, Inc   353 
 712,410      AmerisourceBergen Corp   67,344 
 93,742   *  AMN Healthcare Services, Inc   3,661 
 314,083      Amplifon S.p.A.   4,145 
 34,547      Analogic Corp   2,510 
 227,831   *  Angiodynamics, Inc   3,693 
 28,416   *  Anika Therapeutics, Inc   1,402 
 244,890      Ansell Ltd   4,466 
 284,001   *,e  Antares Pharma, Inc   914 
 874,545      Anthem, Inc   164,528 
 79,993      Apollo Hospitals Enterprise Ltd   1,576 
77

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 10,400      As One Corp  $487 
 38,400      Asahi Intecc Co Ltd   1,747 
 48,875   *,e  athenahealth, Inc   6,869 
 62,624   *  AtriCure, Inc   1,519 
 6,045      Atrion Corp   3,889 
 192,697      Attendo AB   2,349 
 3,117,527      Australian Pharmaceutical Industries Ltd   4,563 
 55,026   *  AxoGen, Inc   922 
 1,041,550      Bangkok Chain Hospital PCL   417 
 4,187,745      Bangkok Dusit Medical Services PCL   2,366 
 107,993      Bard (C.R.), Inc   34,138 
 2,012,210      Baxter International, Inc   121,819 
 273,863      Becton Dickinson & Co   53,433 
 12,556   *,e,g  Biocartis NV   147 
 221,785   *,e  BioScrip, Inc   602 
 170,589   *  BioTelemetry, Inc   5,706 
 31,000      Bioteque Corp   85 
 77,000      BML, Inc   1,498 
 9,108      Boditech Med, Inc   131 
 7,736,811   *  Boston Scientific Corp   214,464 
 731,535   *  Brookdale Senior Living, Inc   10,761 
 418,865      Bumrungrad Hospital PCL (Foreign)   2,114 
 120,518      Cantel Medical Corp   9,390 
 226,672   g  Capio AB   1,386 
 51,774   *  Capital Senior Living Corp   787 
 1,055,320      Cardinal Health, Inc   82,231 
 175,840   *  Cardiovascular Systems, Inc   5,667 
 70,260      Carl Zeiss Meditec AG.   3,655 
 125,956   *,e  Castlight Health, Inc   523 
 153      Celesio AG.   5 
 1,101,337   *  Centene Corp   87,975 
 860,758   *  Cerner Corp   57,215 
 202,261   *,e  Cerus Corp   508 
 26,899   *  CHA Bio & Diostech Co Ltd   293 
 38,789      Chemed Corp   7,934 
 1,092,500      China NT Pharma Group Co Ltd   236 
 322,000      China Pioneer Pharma Holdings Ltd   106 
 406,500   e  China Resources Phoenix Healthcare Holdings Co Ltd   500 
 2,645,800      Chularat Hospital PCL   190 
 2,066,675      Cigna Corp   345,941 
 63,014   *  Civitas Solutions, Inc   1,103 
 92,674      Cochlear Ltd   11,069 
 97,290      Coloplast AS   8,132 
 189,763   *  Community Health Systems, Inc   1,890 
 18,810      CompuGroup Medical AG.   1,055 
 22,407   e  Computer Programs & Systems, Inc   735 
 78,603   *,e  ConforMIS, Inc   337 
 54,437      Conmed Corp   2,773 
 939,985   *  ConvaTec Group plc   3,908 
 132,743      Cooper Cos, Inc   31,781 
 900,000   e  Cordlife Group Ltd   631 
 169,615   *,e  Corindus Vascular Robotics, Inc   315 
 48,082   *  Corvel Corp   2,281 
 161,442   *  Cotiviti Holdings, Inc   5,996 
 56,342   *  CRH Medical Corp   321 
 162,530   *  Cross Country Healthcare, Inc   2,098 
78

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 63,951   *  CryoLife, Inc  $1,276 
 77,969   *  Cutera, Inc   2,019 
 43,459      CVS Group plc   713 
 154,300   *,e  CYBERDYNE, Inc   2,056 
 50,000   e  Daiken Medical Co Ltd   357 
 1,369,668      Danaher Corp   115,586 
 485,701   *  DaVita, Inc   31,454 
 324,596      Dentsply Sirona, Inc   21,047 
 194,790   *  DexCom, Inc   14,249 
 73,779      DiaSorin S.p.A.   5,667 
 6,712   *,e  DIO Corp   194 
 295,852   *  Diplomat Pharmacy, Inc   4,379 
 11,743   *  Dr Lal PathLabs Ltd   142 
 37,897      Draegerwerk AG.   3,993 
 9,565      Draegerwerk AG. & Co KGaA   770 
 898,589   *  Edwards Lifesciences Corp   106,249 
 10,400      Eiken Chemical Co Ltd   314 
 53,141      El.En. S.p.A   1,690 
 248,672   e  Elekta AB (B Shares)   2,353 
 44,924      EMIS Group plc   539 
 159,167   *,e  Endologix, Inc   774 
 95,869      Ensign Group, Inc   2,087 
 24,387   *,e  Entellus Medical, Inc   404 
 366,701   *  Envision Healthcare Corp   22,981 
 302,491      Essilor International S.A.   38,481 
 1,826,167   e  Estia Health Ltd   4,280 
 76,135   *,e  Evolent Health, Inc   1,930 
 27,364   *  Exactech, Inc   815 
 1,815,028   *  Express Scripts Holding Co   115,871 
 412,474   e  Extendicare, Inc   3,292 
 382,326   *,e  Fagron NV   4,704 
 487,652      Fisher & Paykel Healthcare Corp   4,093 
 338,000      Fleury S.A.   2,734 
 21,794   *  FONAR Corp   605 
 1,000,000   *  Fortis Healthcare Ltd   2,503 
 242,790      Fresenius Medical Care AG.   23,428 
 355,692      Fresenius SE   30,537 
 14,500      Fukuda Denshi Co Ltd   1,047 
 68,403   *,e  Genesis Health Care, Inc   119 
 85,335   *  GenMark Diagnostics, Inc   1,009 
 196,931      Getinge AB (B Shares)   3,857 
 33,000      Ginko International Co Ltd   252 
 125,755   *,e  Glaukos Corp   5,215 
 139,276   *  Globus Medical, Inc   4,617 
 503,770   e  GN Store Nord   14,710 
 860,000      Golden Meditech Holdings Ltd   122 
 70,800      Green Hospital Supply, Inc   2,206 
 13,144   e  Guerbet   1,177 
 117,993   *  Haemonetics Corp   4,660 
 169,072   *  Halyard Health, Inc   6,641 
 240,000   e,g  Harmonicare Medical Holdings Ltd   122 
 1,432,600      Hartalega Holdings BHD   2,464 
 1,118,944   *,e  HCA Holdings, Inc   97,572 
 161,115   *  HealthEquity, Inc   8,028 
 521,901      Healthscope Ltd   887 
 335,961      Healthsouth Corp   16,260 
79

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 51,680   *  HealthStream, Inc  $1,360 
 104,083   *  Henry Schein, Inc   19,049 
 136,060      Hill-Rom Holdings, Inc   10,832 
 340,482   *  HMS Holdings Corp   6,299 
 37,694      Hogy Medical Co Ltd   2,513 
 706,654   *  Hologic, Inc   32,068 
 239,636      Hoya Corp   12,476 
 11,000   e  Humana AB   82 
 857,490      Humana, Inc   206,329 
 2,609      Huons Global Co Ltd   89 
 35,521   *  ICU Medical, Inc   6,127 
 338,857   *  Idexx Laboratories, Inc   54,698 
 1,234,542      IHH Healthcare BHD   1,654 
 101,900   *  iKang Healthcare Group, Inc (ADR)   1,250 
 6,732      InBody Co Ltd   160 
 83,488   *  Inogen Inc   7,966 
 148,530   *,e  Inovalon Holdings, Inc   1,953 
 37,400      Instituto Hermes Pardini S.A.   271 
 115,000   *  Insulet Corp   5,901 
 60,936   *  Integer Holding Corp   2,635 
 121,917   *  Integra LifeSciences Holdings Corp   6,646 
 5,382      Interojo Co Ltd   167 
 171,202   *  Intuitive Surgical, Inc   160,137 
 109,520   e  Invacare Corp   1,446 
 48,623      Ion Beam Applications   2,680 
 156,950   *  iRhythm Technologies, Inc   6,669 
 6,332      i-SENS Inc   152 
 50,100   e  Japan Lifeline Co Ltd   2,119 
 769,900   e  Japara Healthcare Ltd   1,243 
 58,000      Jeol Ltd   304 
 80,022   *  K2M Group Holdings, Inc   1,949 
 166,579      Kindred Healthcare, Inc   1,941 
 29,486      Korian-Medica   1,006 
 597,800      Kossan Rubber Industries   887 
 822,773      KPJ Healthcare BHD   809 
 337,839   *  Laboratory Corp of America Holdings   52,074 
 18,482      Landauer, Inc   967 
 110,497   *  Lantheus Holdings, Inc   1,950 
 9,087      Le Noble Age   622 
 106,826      LeMaitre Vascular, Inc   3,335 
 130,912   *  LHC Group, Inc   8,888 
 4,880   e  Lifco AB   157 
 2,087,650      Life Healthcare Group Holdings Pte Ltd   4,090 
 64,193   *  LifePoint Hospitals, Inc   4,311 
 1,524,000   *,e  Lifetech Scientific Corp   361 
 95,940   *  LivaNova plc   5,872 
 10,360      Lutronic Corp   105 
 117,935      M3, Inc   3,253 
 154,847   *  Magellan Health Services, Inc   11,288 
 36,800      Mani, Inc   964 
 186,312   *  Masimo Corp   16,988 
 26,607   *  Mazor Robotics Ltd   458 
 475,071      McKesson Corp   78,168 
 72,803      Medical Facilities Corp   822 
 12,015      Medicare Group   269 
 299,378      Mediceo Paltac Holdings Co Ltd   5,551 
80

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 362,851   e  Mediclinic International plc  $3,510 
 111,390   *  Medidata Solutions, Inc   8,711 
 5,185   *  Medipost Co Ltd   280 
 219,270   *  MEDNAX, Inc   13,237 
 3,650,301      Medtronic plc   323,964 
 28,400      Menicon Co Ltd   933 
 83,243      Meridian Bioscience, Inc   1,311 
 105,906   *  Merit Medical Systems, Inc   4,040 
 759,291      Metlifecare Ltd   2,988 
 143,500      Microlife Corp   354 
 817,752      Microport Scientific Corp   644 
 57,239      Miraca Holdings, Inc   2,578 
 324,000      Modern Dental Group Ltd   129 
 327,772   *  Molina Healthcare, Inc   22,675 
 18,936      Nagaileben Co Ltd   441 
 21,000      Nakanishi, Inc   852 
 677,519   *  Nanosonics Ltd   1,323 
 35,132   *,e  NantHealth, Inc   149 
 33,696   *  Narayana Hrudayalaya Ltd   164 
 21,980      National Healthcare Corp   1,542 
 19,781      National Research Corp   532 
 194,109   *  Natus Medical, Inc   7,240 
 73,375   *  Neogen Corp   5,071 
 941,312      Network Healthcare Holdings Ltd   1,851 
 4,830      Neuca S.A.   508 
 230,572   *,e  Nevro Corp   17,161 
 195,500   *  New Century Healthcare Holding Co Ltd   193 
 225,400      Nichii Gakkan Co   2,239 
 51,000      Nihon Kohden Corp   1,181 
 42,767      Nikkiso Co Ltd   412 
 284,400      Nipro Corp   3,712 
 171,191      NMC Health plc   4,878 
 38,566   e,g  NNIT A.S.   1,176 
 113,907   *,e  Novocure Ltd   1,971 
 420,291   *  NuVasive, Inc   32,329 
 128,590   *  NxStage Medical, Inc   3,224 
 16,878   *,e  Obalon Therapeutics, Inc   167 
 233,970      Odontoprev S.A.   823 
 509,282      Olympus Corp   18,659 
 72,850   *  Omnicell, Inc   3,140 
 437,129   *  OraSure Technologies, Inc   7,545 
 192,768      Oriola-KD Oyj (B Shares)   807 
 28,173      Orpea   3,141 
 171,020   *  Orthofix International NV   7,949 
 8,067   *  Osstem Implant Co Ltd   370 
 121,274   e  Owens & Minor, Inc   3,904 
 61,406   *  Oxford Immunotec Global plc   1,033 
 55,600      Paramount Bed Holdings Co Ltd   2,432 
 165,110      Patterson Cos, Inc   7,752 
 57,863   *,e  Penumbra, Inc   5,077 
 108,356   *  PharMerica Corp   2,844 
 39,600   e  Phonak Holding AG.   6,442 
 79,000   *,m  Pihsiang Machinery Manufacturing Co Ltd   45 
 360,263   *  Premier, Inc   12,969 
 1,051,274      Primary Health Care Ltd   2,940 
 119,121   *  Providence Service Corp   6,029 
81

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 230,062   *  PT Siloam International Hospitals Tbk  $195 
 18,036   *,e  Pulse Biosciences, Inc   623 
 2,056,000   *  PW Medtech Group Ltd   435 
 213,487      Qualicorp S.A.   1,849 
 155,894   *  Quality Systems, Inc   2,683 
 538,830      Quest Diagnostics, Inc   59,896 
 54,956   *  Quidel Corp   1,491 
 159,110   *  Quorum Health Corp   660 
 52,480   *  Quotient Ltd   386 
 198,149   *  R1 RCM, Inc   743 
 98,698   *  RadNet, Inc   765 
 630,384   e  Raffles Medical Group Ltd   614 
 224,758      Ramsay Health Care Ltd   12,717 
 14,326      RaySearch Laboratories AB   401 
 374,535   e  Regis Healthcare Ltd   1,132 
 8,001,800      Religare Health Trust   5,202 
 225,223      Resmed, Inc   17,538 
 21,452   e  Rhoen Klinikum AG.   627 
 211,000      Rion Co Ltd   3,256 
 94,796   *,e  Rockwell Medical, Inc   752 
 172,616   *  RTI Biologics, Inc   1,010 
 333,096      Ryman Healthcare Ltd   2,024 
 26,960   e  Sartorius AG.   2,607 
 18,480      Sartorius Stedim Biotech   1,433 
 1,551,540      Selcuk Ecza Deposu Ticaret ve Sanayi AS   1,808 
 209,984   *  Select Medical Holdings Corp   3,223 
 1,904,415      Shandong Weigao Group Medical Polymer Co Ltd   1,494 
 673,640      Shanghai Pharmaceuticals Holding Co Ltd   2,006 
 95,104   e  Sienna Senior Living, Inc   1,318 
 28,120   *  Sientra, Inc   273 
 2,804,320      Sigma Healthcare Ltd   1,929 
 21,487      Simulations Plus, Inc   265 
 1,148,671      Sinopharm Group Co   5,190 
 706,434      Smith & Nephew plc   12,199 
 1,681,714      Sonic Healthcare Ltd   31,311 
 86,472   *  Spectranetics Corp   3,321 
 442,438   g  Spire Healthcare Group plc   1,870 
 30,000      St. Shine Optical Co Ltd   628 
 81,023   *  Staar Surgical Co   875 
 316,365      STERIS plc   25,784 
 12,540      STRATEC Biomedical AG.   823 
 3,285      Straumann Holding AG.   1,871 
 563,567      Stryker Corp   78,212 
 4,234      Suheung Capsule Co Ltd   131 
 493,472   e  Summerset Group Holdings Ltd   1,717 
 996,400      Supermax Corp BHD   462 
 37,058   *  Surgery Partners, Inc   843 
 48,654   *  SurModics, Inc   1,370 
 127,445      Suzuken Co Ltd   4,242 
 66,653      Sysmex Corp   3,989 
 18,353   *  Tabula Rasa HealthCare, Inc   276 
 18,178   *,e  Tactile Systems Technology, Inc   520 
 106,163   *,e  Teladoc, Inc   3,684 
 61,044      Teleflex, Inc   12,682 
 304,983   *,e  Tenet Healthcare Corp   5,898 
 225,976      Terumo Corp   8,917 
82

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 101,223   *  Tivity Health, Inc  $4,034 
 119,500      Toho Pharmaceutical Co Ltd   2,357 
 6,700      Tokai Corp (GIFU)   266 
 2,197,800      Top Glove Corp BHD   2,944 
 2,762,000   e  Town Health International Medical Group Ltd   241 
 151,406   *  Triple-S Management Corp (Class B)   2,560 
 33,800      Tsuki Corp   198 
 1,070,958      United Drug plc   12,079 
 2,859,226      UnitedHealth Group, Inc   530,158 
 600,782      Universal Health Services, Inc (Class B)   73,343 
 2,514,500   e,g  Universal Medical Financial & Technical Advisory Services Co Ltd   2,010 
 26,991      US Physical Therapy, Inc   1,630 
 7,334      Utah Medical Products, Inc   531 
 5,784      Value Added Technologies Co Lt   141 
 111,509   *,e  Varex Imaging Corp   3,769 
 129,748   *  Varian Medical Systems, Inc   13,389 
 99,804   *  VCA Antech, Inc   9,213 
 453,688   *  Veeva Systems, Inc   27,816 
 2,866,400      Vibhavadi Medical Center PCL (Foreign)   228 
 5,104      Vieworks Co Ltd   256 
 266,538   *,e  ViewRay, Inc   1,724 
 260,196      Virtus Health Ltd   1,075 
 66,600      VITAL KSK Holdings, Inc   543 
 29,720   *,e  Viveve Medical, Inc   213 
 55,261   *  Vocera Communications, Inc   1,460 
 393,449   *  WellCare Health Plans, Inc   70,648 
 99,388      West Pharmaceutical Services, Inc   9,394 
 86,172   *  William Demant Holding A.S.   2,230 
 207,045   *,e  Wright Medical Group NV   5,692 
 9,690      Ypsomed Holding AG.   1,965 
 484,771      Zimmer Holdings, Inc   62,245 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   5,266,950 
                
HOUSEHOLD & PERSONAL PRODUCTS - 1.6%        
 22,484      Able C&C Co Ltd   507 
 33,522      Amorepacific Corp   8,903 
 9,274      Amorepacific Corp (Preference)   1,508 
 214,337      Asaleo Care Ltd   242 
 2,708   *  Avon Products, Inc   10 
 56,121      Bajaj Corp Ltd   331 
 76,845      Beiersdorf AG.   8,083 
 6,384      Bioland Ltd   100 
 9,375   e  Blackmores Ltd   691 
 254,017   *,e  Central Garden & Pet Co   8,075 
 154,851   *  Central Garden and Pet Co (Class A)   4,649 
 30,000      Chlitina Holding Ltd   138 
 469,515      Church & Dwight Co, Inc   24,358 
 4,204      CLIO Cosmetics Co Ltd   143 
 131,047      Clorox Co   17,461 
 3,541,374      Colgate-Palmolive Co   262,522 
 2,592      Cosmax BTI, Inc   67 
 5,097   e  Cosmax, Inc   513 
 620,817      Coty, Inc   11,647 
 845,868      Dabur India Ltd   3,821 
 48,100      Dr Ci:Labo Co Ltd   1,818 
83

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 9,300      Earth Chemical Co Ltd  $479 
 139,162   *  Edgewell Personal Care Co   10,579 
 57,694      EIS Eczacibasi Ilac ve Sinai ve Finansal Yatirimlar Sanayi ve Ticaret AS   78 
 40,995   *,e  elf Beauty, Inc   1,115 
 264,694      Energizer Holdings, Inc   12,711 
 579,041   *  Essity AB   15,843 
 1,832,035      Estee Lauder Cos (Class A)   175,839 
 44,200   *,e  Euglena Co Ltd   464 
 15,446      Eveready Industries India Ltd   81 
 146,000      Fancl Corp   2,684 
 9,381      Gillette India Ltd   742 
 171,522      Godrej Consumer Products Ltd   2,567 
 172,899   *,m  Godrej Consumer Products Ltd (TEMP)   2,588 
 69,000      Grape King Industrial Co   459 
 574,647      Hengan International Group Co Ltd   4,239 
 43,131      Henkel KGaA   5,225 
 310,866      Henkel KGaA (Preference)   42,866 
 172,717   *,e  Herbalife Ltd   12,320 
 1,095,851      Hindustan Lever Ltd   18,297 
 234,757   *  HRG Group, Inc   4,158 
 22,608      Inter Parfums S.A.   855 
 77,697      Inter Parfums, Inc   2,848 
 2,556      It’s Skin Co Ltd   99 
 54,073      Jyothy Laboratories Ltd   297 
 557,309      Kao Corp   33,137 
 238,350      Karex BHD   94 
 1,024,103      Kimberly-Clark Corp   132,222 
 1,493,016      Kimberly-Clark de Mexico S.A. de C.V. (Class A)   3,159 
 32,800      Kobayashi Pharmaceutical Co Ltd   1,949 
 5,904      Kolmar BNH Co Ltd   104 
 9,487      Korea Kolmar Co Ltd   598 
 5,095      Korea Kolmar Holdings Co Ltd   143 
 25,200      Kose Corp   2,764 
 9,750      LG Household & Health Care Ltd   8,472 
 2,203      LG Household & Health Care Ltd (Preference)   1,198 
 702,800      Lion Corp   14,577 
 637,434      L’Oreal S.A.   132,914 
 51,079      Mandom Corp   2,771 
 959,435      Marico Ltd   4,663 
 63,422      Medifast, Inc   2,630 
 273,924   *  Microbio Co Ltd   215 
 9,000      Milbon Co Ltd   506 
 165,798      Natura Cosmeticos S.A.   1,286 
 14,081      Natural Health Trends Corp   392 
 23,186      Nature’s Sunshine Products, Inc   307 
 11,300      Noevir Holdings Co Ltd   576 
 164,664      Nu Skin Enterprises, Inc (Class A)   10,347 
 16,995      Nutraceutical International Corp   708 
 7,555   *  NUTRIBIOTECH Co Ltd   138 
 1,045,000      NVC Lighting Holdings Ltd   114 
 9,913      Oil-Dri Corp of America   416 
 54,937      Ontex Group NV   1,952 
 17,828   e  Orchids Paper Products Co   231 
 32,702   *  Oriflame Holding AG.   1,229 
84

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 29,309      Pacific Corp  $3,331 
 212,300      Pigeon Corp   7,718 
 176,300   *  Pola Orbis Holdings, Inc   4,664 
 6,487,029      Procter & Gamble Co   565,345 
 6,890,900      PT Industri Jamu Dan Farmasi Sido Muncul Tbk   257 
 2,431,029      PT Unilever Indonesia Tbk   8,901 
 199,153      PZ Cussons plc   888 
 624,794      Reckitt Benckiser Group plc   63,337 
 23,739   *  Revlon, Inc (Class A)   563 
 6,867   *  Sansung Life & Science Co Ltd   99 
 273,691      Shiseido Co Ltd   9,756 
 129,569   e  Spectrum Brands, Inc   16,201 
 24,000      TCI Co Ltd   153 
 3,764   e  Tonymoly Co Ltd   68 
 300,099      Uni-Charm Corp   7,555 
 2,775,611      Unilever NV   153,219 
 1,539,602      Unilever plc   83,320 
 109,717   *  USANA Health Sciences, Inc   7,033 
 400,000      Vinda International Holdings Ltd   809 
 27,224      WD-40 Co   3,004 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS   1,969,053 
                
INSURANCE - 4.2%        
 149,212      Admiral Group plc   3,894 
 570,859      Aegon NV   2,922 
 377,431      Aflac, Inc   29,319 
 133,210      Ageas   5,365 
 14,471,914      AIA Group Ltd   105,882 
 16,062   *  Alleghany Corp   9,554 
 564,863      Allianz AG.   111,471 
 156,235      Allied World Assurance Co Holdings Ltd   8,265 
 754,430      Allstate Corp   66,722 
 179,472      Alm Brand AS   1,599 
 177,734   *  AMBAC Financial Group, Inc   3,084 
 235,103      American Equity Investment Life Holding Co   6,179 
 121,974      American Financial Group, Inc   12,121 
 7,962,092      American International Group, Inc   497,790 
 8,277      American National Insurance Co   964 
 40,022      Amerisafe, Inc   2,279 
 180,254   e  Amtrust Financial Services, Inc   2,729 
 87,806      Anadolu Hayat Emeklilik AS   138 
 208,804      Anadolu Sigorta   167 
 94,700   e  Anicom Holdings, Inc   2,078 
 134,490      Aon plc   17,880 
 207,050   *  Arch Capital Group Ltd   19,316 
 490,126      Argo Group International Holdings Ltd   29,702 
 130,622      Arthur J. Gallagher & Co   7,478 
 189,169      Aspen Insurance Holdings Ltd   9,430 
 364,995      ASR Nederland NV   12,308 
 495,286      Assicurazioni Generali S.p.A.   8,175 
 106,575      Assurant, Inc   11,051 
 293,418      Assured Guaranty Ltd   12,247 
 2,463,157   *  Athene Holding Ltd   122,197 
 31,609   *  Atlas Financial Holdings, Inc   471 
 7,447,293      Aviva plc   51,084 
 22,553      AvivaSA Emeklilik ve Hayat AS.   131 
85

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,638,900      AXA S.A.  $99,645 
 141,556      Axis Capital Holdings Ltd   9,153 
 33,319      Bajaj Finserv Ltd   2,121 
 19,477      Baldwin & Lyons, Inc (Class B)   477 
 11,333      Baloise Holding AG.   1,755 
 708,474      BB Seguridade Participacoes S.A.   6,127 
 1,146,359      Beazley plc   7,291 
 4,353,452   *  Berkshire Hathaway, Inc (Class B)   737,344 
 11,309      Blue Capital Reinsurance Holdings Ltd   207 
 158,374      Brown & Brown, Inc   6,821 
 8,531,316      Cathay Financial Holding Co Ltd   14,043 
 156,690      Chesnara plc   790 
 1,954,394      China Insurance International Holdings Co Ltd   4,955 
 8,440,990      China Life Insurance Co Ltd   25,796 
 3,217,016      China Life Insurance Co Ltd (Taiwan)   3,207 
 5,883,839      China Pacific Insurance Group Co Ltd   24,057 
 3,292,111      Chubb Ltd   478,607 
 142,770      Cincinnati Financial Corp   10,344 
 93,928   *,e  Citizens, Inc (Class A)   693 
 12,873   *  Clal Insurance   218 
 49,933      CNA Financial Corp   2,434 
 298,047      CNP Assurances   6,690 
 550,288      Conseco, Inc   11,490 
 3,630,000   *  Convoy Financial Holdings Ltd   53 
 493,879      Corp Mapfre S.A.   1,729 
 45,589      Crawford & Co (Class B)   424 
 1,912,811      Dai-ichi Mutual Life Insurance Co   34,720 
 863,366      Direct Line Insurance Group plc   3,998 
 367,490      Discovery Holdings Ltd   3,594 
 27,835      Donegal Group, Inc (Class A)   443 
 44,784      Dongbu Insurance Co Ltd   2,661 
 20,000   e  Dream Incubator, Inc   381 
 31,859   *  eHealth, Inc   599 
 17,581      EMC Insurance Group, Inc   488 
 63,019      Employers Holdings, Inc   2,666 
 22,294   *  Enstar Group Ltd   4,429 
 38,040      Erie Indemnity Co (Class A)   4,758 
 778,513      esure Group plc   3,059 
 31,755      Euler Hermes S.A.   3,772 
 87,499      Everest Re Group Ltd   22,276 
 17,521      Fairfax Financial Holdings Ltd   7,593 
 19,755      FBL Financial Group, Inc (Class A)   1,215 
 76,842      Federated National Holding Co   1,229 
 22,702   e  Fidelity & Guaranty Life   705 
 392,080      First American Financial Corp   17,522 
 598,219      FNF Group   26,818 
 1,264,634   e  Fondiaria-Sai S.p.A   2,774 
 1,370,369   *  Genworth Financial, Inc (Class A)   5,166 
 278,228      Gjensidige Forsikring BA   4,749 
 21,287   *  Global Indemnity Ltd   825 
 410,196      Great-West Lifeco, Inc   11,118 
 59,992   *  Greenlight Capital Re Ltd (Class A)   1,254 
 139,191      Grupo Catalana Occidente S.A.   5,868 
 45,657   *  Hallmark Financial Services   515 
 71,847      Hannover Rueckversicherung AG.   8,630 
 42,631      Hanover Insurance Group, Inc   3,778 
86

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 138,041      Hanwha Non-Life Insurance Co Ltd  $1,022 
 315,284      Harel Insurance Investments & Finances Ltd   1,865 
 1,466,389      Hartford Financial Services Group, Inc   77,088 
 527,238   g  Hastings Group Holdings Ltd   2,156 
 15,695   e  HCI Group, Inc   737 
 22,108   *,e  Health Insurance Innovations, Inc   520 
 4,313      Helvetia Holding AG.   2,474 
 89,312      Heritage Insurance Holdings, Inc   1,163 
 621,685      Hiscox Ltd   10,259 
 80,463      Horace Mann Educators Corp   3,041 
 349,590      Hyundai Marine & Fire Insurance Co Ltd   12,024 
 4,260      IDI Insurance Co Ltd   248 
 15,150      Independence Holding Co   310 
 98,716      Industrial Alliance Insurance and Financial Services, Inc   4,283 
 48,998      Infinity Property & Casualty Corp   4,606 
 393,847   *  ING Life Insurance Korea Ltd   11,704 
 3,125,269      Insurance Australia Group Ltd   16,288 
 244,721      Intact Financial Corp   18,486 
 2,944      Investors Title Co   569 
 104,206      James River Group Holdings Ltd   4,140 
 562,200      Japan Post Holdings Co Ltd   6,993 
 1,800      Japan Post Insurance Co Ltd   40 
 397,493      Just Retirement Group plc   660 
 79,436      Kemper Corp   3,066 
 18,104   e  Kingstone Cos, Inc   277 
 62,828   e  Kinsale Capital Group, Inc   2,344 
 780,163      Korea Life Insurance Co Ltd   4,744 
 67,868      Korean Reinsurance Co   718 
 126,544      Lancashire Holdings Ltd   1,149 
 14,660,991      Legal & General Group plc   49,334 
 95,585      Liberty Holdings Ltd   822 
 1,975,969      Lincoln National Corp   133,536 
 256,756      Loews Corp   12,019 
 309,000      Long Bon International Co Ltd   160 
 42,480      Lotte Non-Life Insurance Co Ltd   111 
 376,357      Maiden Holdings Ltd   4,178 
 2,500,786      Manulife Financial Corp   46,880 
 12,203   *  Markel Corp   11,908 
 1,390,272      Marsh & McLennan Cos, Inc   108,386 
 96,944      Max India Ltd   946 
 196,082   *  Max India Ltd (New)   468 
 254,323   *  MBIA, Inc   2,398 
 2,680,547      Medibank Pvt Ltd   5,772 
 45,447      Menorah Mivtachim Holdings Ltd   573 
 417,238      Mercuries & Associates Holding Ltd   302 
 581,803      Mercuries Life Insurance Co Lt   302 
 35,812   e  Mercury General Corp   1,934 
 41,352      Meritz Fire & Marine Insurance Co Ltd   725 
 3,194,020      Metlife, Inc   175,479 
 918,986      Metropolitan Holdings Ltd   1,422 
 1,436,408   *  Migdal Insurance Holdings Ltd   1,536 
 54,752      Mirae Asset Life Insurance Co Ltd   251 
 776,198      Mitsui Sumitomo Insurance Group Holdings, Inc   26,180 
 68,137      Muenchener Rueckver AG.   13,788 
 351,592      National General Holdings Corp   7,419 
 4,464      National Western Life Group, Inc   1,427 
87

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 42,431      Navigators Group, Inc  $2,329 
 876,482      New China Life insurance Co Ltd   4,459 
 24,079   *,e  NI Holdings, Inc   431 
 936,699      NKSJ Holdings, Inc   36,358 
 217,710      NN Group NV   7,725 
 43,484      Novae Group plc   323 
 1,278,721      Old Mutual plc   3,226 
 392,290      Old Republic International Corp   7,661 
 39,233      OneBeacon Insurance Group Ltd (Class A)   715 
 23,335,288      People’s Insurance Co Group of China Ltd   9,801 
 248,831      Phoenix Group Holdings   2,513 
 44,448   *  Phoenix Holdings Ltd   189 
 5,297,526      PICC Property & Casualty Co Ltd   8,847 
 9,930,726   e  Ping An Insurance Group Co of China Ltd   65,418 
 90,974      Porto Seguro S.A.   841 
 493,908   e,g  Poste Italiane S.p.A   3,387 
 707,242      Power Corp Of Canada   16,132 
 605,326      Power Financial Corp   15,530 
 976,679      Powszechny Zaklad Ubezpieczen S.A.   11,751 
 90,187      Primerica, Inc   6,832 
 395,062      Principal Financial Group   25,312 
 195,753      ProAssurance Corp   11,902 
 4,692,564      Progressive Corp   206,895 
 51,084   e  Protector Forsikring ASA   428 
 509,345      Prudential Financial, Inc   55,081 
 5,654,385      Prudential plc   129,789 
 57,256,000   *  PT Panin Insurance Tbk   3,609 
 280,859,000   *  PT Panin Life Tbk   4,920 
 141,075      Qatar Insurance Co SAQ   2,598 
 1,866,612      QBE Insurance Group Ltd   16,942 
 162,900   e  Qualitas Controladora SAB de C.V.   271 
 624,813      Rand Merchant Investment Holdings Ltd   1,862 
 102,125      Reinsurance Group of America, Inc (Class A)   13,112 
 93,606      RenaissanceRe Holdings Ltd   13,016 
 76,247      RLI Corp   4,165 
 1,281,742      RSA Insurance Group plc   10,282 
 28,495      Safety Insurance Group, Inc   1,946 
 1,451,328      Saga plc   3,958 
 1,164,650      Sampo Oyj (A Shares)   59,753 
 23,762      Samsung Fire & Marine Insurance Co Ltd   5,849 
 63,741      Samsung Life Insurance Co Ltd   6,516 
 1,448,985      Sanlam Ltd   7,177 
 105,096      SCOR SE   4,175 
 152,103      Selective Insurance Group, Inc   7,613 
 7,384,361   *  Shin Kong Financial Holding Co Ltd   1,964 
 203,000      Shinkong Insurance Co Ltd   179 
 676,015      Societa Cattolica di Assicurazioni SCRL   5,259 
 307,392      Sony Financial Holdings, Inc   5,257 
 571,087      St. James’s Place plc   8,802 
 556,454      Standard Life plc   2,894 
 31,231      State Auto Financial Corp   804 
 114,611      State National Cos, Inc   2,107 
 936,125      Steadfast Group Ltd   1,913 
 49,087      Stewart Information Services Corp   2,228 
 1,517,119      Storebrand ASA   10,469 
 172,094      Sul America SA   919 
88

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 675,572      Sun Life Financial, Inc  $24,151 
 1,023,425      Suncorp-Metway Ltd   11,657 
 17,735      Swiss Life Holding   5,999 
 287,569      Swiss Re Ltd   26,354 
 221,300      Syarikat Takaful Malaysia BHD   214 
 1,460,642      T&D Holdings, Inc   22,336 
 231,000      Taiwan Fire & Marine Insurance Co   149 
 2,600,200      Thai Reinsurance PCL   136 
 2,649,958   *  Third Point Reinsurance Ltd   36,834 
 1,252,587      Tokio Marine Holdings, Inc   52,124 
 29,988      Tong Yang Life Insurance   262 
 168,533   *  Topdanmark AS   5,382 
 121,101      Torchmark Corp   9,264 
 324,227      Travelers Cos, Inc   41,024 
 1,768   *,e  Trisura Group Ltd   30 
 59,246   *,e  Trupanion, Inc   1,326 
 165,554      Tryg A.S.   3,620 
 239,300      Tune Ins Holdings BHD   69 
 1,674,984      Unipol Gruppo Finanziario S.p.A   7,349 
 369,631      Uniqa Versicherungen AG.   3,448 
 85,526      United Fire & Casualty Co   3,768 
 34,124   e  United Insurance Holdings Corp   537 
 134,952      Universal Insurance Holdings, Inc   3,401 
 193,716      UnumProvident Corp   9,033 
 241,557      Validus Holdings Ltd   12,554 
 775,149      W.R. Berkley Corp   53,617 
 8,466      White Mountains Insurance Group Ltd   7,354 
 121,676      Wiener Staedtische Allgemeine Versicherung AG.   3,434 
 271,693   e  Willis Towers Watson plc   39,520 
 44,100      Wiz Solucoes e Corretagem de Seguros S.A.   245 
 17,007      Wuestenrot & Wuerttembergische AG.   373 
 573,900      XL Group Ltd   25,137 
 378,215      Zurich Financial Services AG.   110,382 
        TOTAL INSURANCE   4,984,813 
                
MATERIALS - 5.0%        
 80,464      A. Schulman, Inc   2,575 
 17,008      Aarti Industries   241 
 119,387      Acerinox S.A.   1,637 
 9,499      Achilles Corp   160 
 10,350      Acron JSC (GDR)   55 
 97,608      Adana Cimento   196 
 217,700      ADEKA Corp   3,326 
 281,839      Adelaide Brighton Ltd   1,219 
 41,404   e  Advanced Emissions Solutions, Inc   379 
 22,975   *  Advanced Enzyme Technologies Ltd   115 
 105,035      Advanced Metallurgical Group NV   3,071 
 82,269   *  AdvanSix, Inc   2,570 
 89,287      Aeci Ltd   725 
 171,448      African Barrick Gold Ltd   666 
 72,485      African Rainbow Minerals Ltd   467 
 182,338      Agnico-Eagle Mines Ltd   8,223 
 390,344   e  Agrium, Inc   35,377 
 69,130   *,e  AgroFresh Solutions, Inc   496 
 8,700      Aichi Steel Corp   344 
 411,722   e  Air Liquide   50,887 
89

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 255,518      Air Products & Chemicals, Inc  $36,554 
 30,422      Air Water, Inc   561 
 3,364      AK Holdings, Inc   218 
 7,452,215   *,e  AK Steel Holding Corp   48,961 
 34,000      Akcansa Cimento AS   113 
 8,642      Akzo Nobel India Ltd   245 
 163,553      Akzo Nobel NV   14,224 
 199,571      Alamos Gold, Inc   1,416 
 526,063      Albemarle Corp   55,521 
 416,345   e  Alcoa Corp   13,594 
 1,051,503      Alexandria Mineral Oils Co   599 
 215,898   e  Allegheny Technologies, Inc   3,672 
 27,517      Altius Minerals Corp   229 
 462,632      Altri SGPS S.A.   2,131 
 1,719,880   e  Alumina Ltd   2,533 
 4,823,445   *,e  Aluminum Corp of China Ltd   2,470 
 731,666      Ambuja Cements Ltd   2,790 
 1,145,911      Amcor Ltd   14,275 
 92,030      American Vanguard Corp   1,588 
 18,047   e  Ampco-Pittsburgh Corp   266 
 3,729,000      AMVIG Holdings Ltd   1,146 
 1,246,721      Anadolu Cam Sanayii AS   1,269 
 190,721   *  Anatolia Minerals Development Ltd   306 
 72,113   *  Anglo American Platinum Ltd   1,652 
 1,500,891   *  Anglo American plc (London)   20,051 
 497,713      AngloGold Ashanti Ltd   4,860 
 1,269,369      Anhui Conch Cement Co Ltd   4,411 
 354,018   e  Antofagasta plc   3,693 
 168,610      APERAM   7,830 
 58,524      Aptargroup, Inc   5,083 
 1,658,479   *  ArcelorMittal   37,619 
 177,086   *  ArcelorMittal (ADR)   4,025 
 58,650      Ardagh Group S.A.   1,326 
 362,687      Arkema   38,732 
 19,174      Asahi Holdings, Inc   316 
 1,160,255      Asahi Kasei Corp   12,517 
 159,562   *,e  Asanko Gold, Inc   245 
 1,285,190      Ashland Global Holdings, Inc   84,707 
 934,500      Asia Cement China Holdings Corp   276 
 151      Asia Cement Co Ltd   11 
 2,366,024      Asia Cement Corp   2,029 
 105,587      Asia Polymer   66 
 400,761      Asian Paints Ltd   6,830 
 46,149      Associated Cement Co Ltd   1,119 
 64,331      Assore Ltd   958 
 7,206      Atul Ltd   269 
 46,879      Aurubis AG.   3,688 
 337,991      Avery Dennison Corp   29,868 
 329,731   *  Axalta Coating Systems Ltd   10,565 
 1,362,986   *  B2Gold Corp   3,836 
 62,649      Balchem Corp   4,868 
 548,375      Ball Corp   23,147 
 1,527,431      Barrick Gold Corp (Canada)   24,299 
 7,492      BASF India Ltd   206 
 738,879      BASF SE   68,575 
 12,300      Bayer CropScience Ltd   882 
90

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 12,000,000   e  BBMG Corp  $6,055 
 79,523      Bekaert S.A.   4,046 
 96,574      Bemis Co, Inc   4,467 
 34,600   *  Bengang Steel Plates Co   13 
 2,855,745   *  Berry Plastics Group, Inc   162,806 
 4,433,166      BHP Billiton Ltd   79,016 
 3,217,586      BHP Billiton plc   49,296 
 483,375      Billerud AB   7,639 
 17,367   *  Birla Corp Ltd   233 
 531,529      BlueScope Steel Ltd   5,381 
 312,025   *  Boise Cascade Co   9,486 
 348,047      Boliden AB   9,514 
 1,103,433      Boral Ltd   5,891 
 208,561      Borregaard ASA   2,574 
 35,346      Borusan Mannesmann Boru Sanayi   85 
 203,242   *  Boryszew S.A.   624 
 160,700      Bradespar S.A.   999 
 154,975      Braskem S.A.   1,600 
 180,273      Brickworks Ltd   1,911 
 49,802      Buzzi Unicem S.p.A.   1,242 
 29,541      Buzzi Unicem S.p.A. RSP   420 
 62,216      Cabot Corp   3,324 
 206,800      Cahya Mata Sarawak BHD   194 
 169,142      Calgon Carbon Corp   2,554 
 316,648   *  Canfor Corp   4,783 
 62,555      Canfor Pulp Products, Inc   606 
 55,849      CAP S.A.   447 
 119,184      Carpenter Technology Corp   4,461 
 281,019      Cascades, Inc   3,833 
 165,803      CCL Industries   8,389 
 197,644      Celanese Corp (Series A)   18,764 
 33,816      Cementir S.p.A.   202 
 347,795      Cementos Argos S.A.   1,351 
 1,848,600   *  CEMEX Holdings Philippines, Inc   260 
 95,247   *  Cemex Latam Holdings S.A.   366 
 20,558,078   *  Cemex S.A. de C.V.   19,313 
 2,426,747      Centamin plc   4,902 
 170,543      Centerra Gold, Inc   931 
 101,286   *  Century Aluminum Co   1,578 
 44,728      Century Plyboards India Ltd   203 
 17,342      Century Textile & Industries Ltd   295 
 251,309   e  CF Industries Holdings, Inc   7,027 
 28,070      Chase Corp   2,995 
 756,046      Chemours Co   28,669 
 232,560      Cheng Loong Corp   110 
 276,000   *,e  Chiho-Tiande Group Ltd   127 
 1,334,695      China BlueChemical Ltd   316 
 4,584,000   *,e  China Daye Non-Ferrous Metals Mining Ltd   57 
 3,708,000      China General Plastics Corp   3,439 
 171,000      China Hi-ment Corp   311 
 551,250      China Manmade Fibers Corp   148 
 191,112      China Metal Products   191 
 858,455   *,e,m  China Metal Recycling Holdings Ltd   1 
 580,000   *  China Metal Resources Utilization Ltd   224 
 2,949,282      China National Building Material Co Ltd   1,752 
 929,000      China National Materials Co Ltd   310 
91

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,394,628   *  China Petrochemical Development Corp  $534 
 6,683,200   *,e,m  China Shanshui Cement Group Ltd   428 
 3,778,000   e  China Silver Group Ltd   691 
 118,000      China Steel Chemical Corp   451 
 12,695,303      China Steel Corp   10,323 
 465,540      China Synthetic Rubber Corp   496 
 292,000      China Wood Optimization Holding Ltd   80 
 387,000      China XLX Fertiliser Ltd   103 
 438,000   *,e  Chongqing Iron & Steel Co Ltd   65 
 75,426      Christian Hansen Holding   5,485 
 37,700      Chugoku Marine Paints Ltd   291 
 702,000   *  Chung Hung Steel Corp   246 
 13,540      Chung Hwa Pulp Corp   5 
 380,371      Cia de Minas Buenaventura S.A. (ADR) (Series B)   4,374 
 1,604,448   *  Cia Siderurgica Nacional S.A.   3,477 
 29,111      Ciech S.A.   480 
 102,000      Cimsa Cimento Sanayi Ve Tica   439 
 287,642   e  Clariant AG.   6,349 
 31,860   *  Clearwater Paper Corp   1,489 
 589,714   *,e  Cliffs Natural Resources, Inc   4,081 
 86,019   *  Codexis, Inc   469 
 703,510   *  Coeur Mining, Inc   6,036 
 230,248      Commercial Metals Co   4,474 
 86,132   *,m  Companhia Vale do Rio Doce    0 
 120,000      Companhia Vale do Rio Doce (ADR)   1,050 
 83,927   e  Compass Minerals International, Inc   5,480 
 137,616      Corbion NV   4,401 
 14,441   *  Core Molding Technologies, Inc   312 
 95,153      Coromandel International Ltd   618 
 28,392      Corticeira Amorim SGPS S.A.   417 
 291,753   g  Covestro AG.   21,150 
 99,000      CPMC Holdings Ltd   49 
 1,416,680      CRH plc   50,212 
 44,530      Croda International plc   2,255 
 733,081   *  Crown Holdings, Inc   43,736 
 1,796,597      CSR Ltd   5,839 
 1,938,900      D&L Industries Inc   462 
 1,154,000      Da Ming International Holdings Ltd   470 
 452,999      Daicel Chemical Industries Ltd   5,662 
 190,000      Daido Steel Co Ltd   1,096 
 23,100      Daiken Corp   497 
 86,857      Dainichiseika Color & Chemicals Manufacturing Co Ltd   689 
 249,100      Dainippon Ink and Chemicals, Inc   9,000 
 67,172   e  Daio Paper Corp   907 
 40,000   e  Daiso Co Ltd   194 
 30,267      Dalmia Bharat Ltd   1,156 
 21,623      Deltic Timber Corp   1,614 
 647,000      Denki Kagaku Kogyo KK   3,348 
 116,663   *  Detour Gold Corp   1,366 
 155,700      DG Khan Cement Co Ltd   317 
 10,699      Dhanuka Agritech Ltd   139 
 153,130      Dominion Diamond Corp   1,927 
 187,933      Domtar Corp   7,220 
 21,607      Dongjin Semichem Co Ltd   273 
 270,006      Dongkuk Steel Mill Co Ltd   3,451 
 2,608      Dongwha Enterprise Co Ltd   80 
92

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,946,000   *  Dongyue Group  $1,419 
 7,232,297      Dow Chemical Co   456,141 
 1,040,000      Dowa Holdings Co Ltd   7,888 
 1,577,079      DS Smith plc   9,733 
 80,277      DSM NV   5,839 
 7,552   *  Duk San Neolux Co Ltd   192 
 383,222      DuluxGroup Ltd   2,044 
 131,225      Eagle Materials, Inc   12,128 
 619,800      Eastern Polymer Group PCL   230 
 158,544      Eastman Chemical Co   13,316 
 154,928      Ecolab, Inc   20,567 
 1,091,953      EI du Pont de Nemours & Co   88,132 
 112,917      EID Parry India Ltd   540 
 124,405   *  El Ezz Steel Co   143 
 522,970      Eldorado Gold Corp   1,387 
 309,540      Elementis plc   1,187 
 2,881,364      Empresas CMPC S.A.   6,887 
 3,981      EMS-Chemie Holding AG.   2,940 
 591,407   e  Ence Energia y Celulosa S.A.   2,426 
 46,717   *  Endeavour Mining Corp   806 
 86,058   *,e  Endeavour Silver Corp   262 
 4,300      Engro Chemical Pakistan Ltd   13 
 6,587   *,e  Eramet   323 
 6,666,317      Eregli Demir ve Celik Fabrikalari TAS   13,354 
 41,767      Essel Propack Ltd   158 
 175,600   e  Essentra plc   1,291 
 368,602      Eternal Chemical Co Ltd   413 
 812,993      Eugene Corp   4,278 
 250,128      Everlight Chemical Industrial Corp   150 
 784,925      Evolution Mining Ltd   1,457 
 121,327      Evonik Industries AG.   3,883 
 257,508   *  Evraz plc   694 
 330,300      Fauji Fertilizer Co Ltd   260 
 429,050      Feng Hsin Iron & Steel Co   714 
 3,092,743      Ferrexpo plc   8,354 
 279,310   *  Ferro Corp   5,109 
 202,348   *,m  Ferroglobe plc    0 
 616,530      Fibria Celulose S.A.   6,292 
 11,886      Finolex Industries Ltd   111 
 110,252   *,e  First Majestic Silver Corp   915 
 1,702,704      First Quantum Minerals Ltd   14,404 
 4,319,302      Fletcher Building Ltd   25,293 
 108,568   *,e  Flotek Industries, Inc   971 
 367,658      FMC Corp   26,857 
 40,992   *  Foosung Co Ltd   378 
 2,642,354      Formosa Chemicals & Fibre Corp   8,290 
 11,477,176      Formosa Plastics Corp   34,966 
 95,800      Formosan Rubber Group, Inc   48 
 63,370      Forterra plc   211 
 36,749   *,e  Forterra, Inc   302 
 4,390,564      Fortescue Metals Group Ltd   17,576 
 113,542   *  Fortuna Silver Mines, Inc   556 
 169,791   m  Foshan Huaxin Packaging Co Ltd   205 
 25,200      FP Corp   1,365 
 236,267      Franco-Nevada Corp   17,048 
 5,211,753   *  Freeport-McMoRan Copper & Gold, Inc (Class B)   62,593 
93

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 411,700      Fresnillo plc  $7,981 
 5,893      Frutarom Industries Ltd   411 
 105,578      Fuchs Petrolub AG. (Preference)   5,754 
 7,666,200      Fufeng Group Ltd   4,120 
 28,100      Fuji Seal International, Inc   777 
 12,900      Fujimi, Inc   267 
 9,800      Fujimori Kogyo Co Ltd   308 
 1,966,000      Furukawa-Sky Aluminum Corp   5,400 
 1,845,800   e  Fushan International Energy Group Ltd   343 
 35,400      Fuso Chemical Co Ltd   1,152 
 13,936,000   *  Future World Financial Holdings Ltd   232 
 50,114      FutureFuel Corp   756 
 255,309   *,e  Galaxy Resources Ltd   325 
 1,273,455   *  GCP Applied Technologies, Inc   38,840 
 2,600,912      Gerdau S.A. (Preference)   8,071 
 7,847      Givaudan S.A.   15,724 
 23,698,319     Glencore Xstrata plc   88,803 
 382,959      Gloria Material Technology Corp   254 
 5,700      Godo Steel Ltd   102 
 67,381      Godrej Industries Ltd   665 
 532,372      Gold Fields Ltd   1,831 
 98,474   *,e  Gold Resource Corp   402 
 679,987      Goldcorp, Inc   8,767 
 7,364,418      Goldsun Development & Construction Co Ltd   2,205 
 5,827,000      Grand Pacific Petrochemical   4,061 
 65,349   e  Granges AB   601 
 1,608,547      Graphic Packaging Holding Co   22,166 
 318,232      Grasim Industries Ltd   6,110 
 605,755   *,m  Great Basin Gold Ltd   5 
 223,000      Great China Metal Industry   199 
 1,840,000   e  Greatview Aseptic Packaging Co   1,148 
 29,000      Green Seal Holding Ltd   121 
 28,723      Greenply Industries Ltd   122 
 11,243      Greif, Inc   679 
 50,336      Greif, Inc (Class A)   2,808 
 31,708,316      G-Resources Group Ltd   463 
 269,930      Grupo Argos S.A.   1,837 
 4,372,344      Grupo Mexico S.A. de C.V. (Series B)   12,304 
 64,436      Gubre Fabrikalari TAS   91 
 28,902      Gujarat Flourochemicals   330 
 276,258      Gujarat Narmada Valley Fertilizers Co Ltd   1,146 
 949      Gurit Holding AG.   1,138 
 584,155   *  Guyana Goldfields, Inc   2,739 
 9,945   *  H&R WASAG AG.   139 
 99,875      H.B. Fuller Co   5,105 
 72,241      Han Kuk Carbon Co Ltd   416 
 5,847   *  Handy & Harman Ltd   184 
 9,449      Hanil Cement Manufacturing   950 
 6,921      Hansol Chemical Co Ltd   429 
 14,825   *  Hansol Paper Co   85 
 56,060      Hansol Paper Co Ltd   943 
 114,398      Hanwha Chemical Corp   3,019 
 846,126      Harmony Gold Mining Co Ltd   1,398 
 18,709      Hawkins, Inc   867 
 24,539      Haynes International, Inc   891 
 1,907,505      Hecla Mining Co   9,728 
94

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 32,472      HeidelbergCement AG.  $3,148 
 52,837   *  HeidelbergCement India Ltd   102 
 165,239   e  Hexpol AB   1,804 
 55,755      Hill & Smith Holdings plc   1,002 
 1,172,857      Hindalco Industries Ltd   3,458 
 294,270      Hitachi Chemical Co Ltd   8,822 
 189,834      Hitachi Metals Ltd   2,649 
 407,702   *  Ho Tung Chemical Corp   111 
 182,568   e  Hochschild Mining plc   653 
 137,229      Hokuetsu Paper Mills Ltd   1,078 
 278,939      Holcim Ltd   16,031 
 69,251      Holmen AB (B Shares)   3,006 
 16,199      Honam Petrochemical Corp   4,876 
 10,520      HSIL Ltd   59 
 751,000   *  Huabao International Holdings Ltd   448 
 212,220      Huaxin Cement Co Ltd   164 
 141,200      Hubei Sanonda Co Ltd   128 
 15,462      Huchems Fine Chemical Corp   362 
 482,518      HudBay Minerals, Inc   2,791 
 61,141      Huhtamaki Oyj   2,408 
 1,047,693      Huntsman Corp   27,072 
 22,122      Hyosung Corp   3,240 
 83,378      Hyundai Steel Co   4,529 
 355,302   *  IAMGOLD Corp   1,833 
 2,131,616   g  Ibstock plc   6,819 
 328,726      Iluka Resources Ltd   2,193 
 54,887      IMCD Group NV   2,975 
 7,576      Imerys S.A.   659 
 756,653   *  Impala Platinum Holdings Ltd   2,133 
 35,435   *,e  Imperial Metals Corp   130 
 2,361,044      Incitec Pivot Ltd   6,193 
 333,703      Independence Group NL   807 
 367,699      India Cements Ltd   1,123 
 155,400      Indorama Ventures PCL   174 
 1,087,278      Indorama Ventures PCL (Foreign)   1,215 
 112,200   *,e  Industrias CH SAB de C.V.   558 
 186,391      Industrias Penoles S.A. de C.V.   4,206 
 85,151   *  Ingevity Corp   4,888 
 238,720      Inner Mongolia Eerduosi Resourses Co Ltd   227 
 93,459      Innophos Holdings, Inc   4,097 
 51,439      Innospec, Inc   3,372 
 207,198   *  Interfor Corp   2,969 
 45,145      International Flavors & Fragrances, Inc   6,095 
 1,502,006      International Paper Co   85,029 
 139,198      Intertape Polymer Group, Inc   2,650 
 187,173   *  Intrepid Potash, Inc   423 
 21,700   *  Ishihara Sangyo Kaisha Ltd   223 
 174,219      Israel Chemicals Ltd   822 
 9,996      Israel Corp Ltd   2,123 
 418,111   *,e  Ivanhoe Mines Ltd   1,344 
 31,459   *,m  Jacana Minerals Ltd   5 
 309,711      James Hardie Industries NV   4,881 
 9,450   *  Jastrzebska Spolka Weglowa S.A.   189 
 332,100      Jaya Tiasa Holdings BHD   91 
 395,152      JFE Holdings, Inc   6,880 
 1,483,445      Jiangxi Copper Co Ltd   2,434 
95

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 230,127   *  Jindal Steel & Power Ltd  $438 
 175,383   *  Jinshan Gold Mines, Inc   268 
 15,083      JK Cement Ltd   219 
 24,915      JK Lakshmi Cement Ltd   187 
 42,116      Johnson Matthey plc   1,576 
 37,300      JSP Corp   1,128 
 885,465      JSR Corp   15,328 
 922,272      JSW Steel Ltd   2,900 
 56,113   e  K&S AG.   1,441 
 78,778      Kaiser Aluminum Corp   6,973 
 198,638      Kaneka Corp   1,520 
 171,222      Kansai Nerolac Paints Ltd   1,165 
 297,817      Kansai Paint Co Ltd   6,875 
 31,800      Kanto Denka Kogyo Co Ltd   281 
 205,849      Kapstone Paper and Packaging Corp   4,247 
 565,516      Kardemir Karabuk Demir Celik Sanayi ve Ticaret AS (Class D)   281 
 164,107   *,e  KAZ Minerals plc   1,107 
 67,430      Kemira Oyj   852 
 329,029      KGHM Polska Miedz S.A.   9,814 
 18,000   *  KH Neochem Co Ltd   345 
 1,463,577   *  Kinross Gold Corp   5,948 
 612,656      Kirkland Lake Gold Ltd   5,797 
 17,807      KISCO Corp   714 
 3,868      KISWIRE Ltd   130 
 539,651      Klabin S.A.   2,644 
 1,349,700      Klabin S.A. (Preference)   1,149 
 109,496   *  Klondex Mines Ltd   369 
 346,185   *,e  Klondex Mines Ltd   1,167 
 54,260      KMG Chemicals, Inc   2,641 
 17,700      Koatsu Gas Kogyo Co Ltd   128 
 350,079   *  Kobe Steel Ltd   3,610 
 11,886      Kolon Industries, Inc   716 
 58,000      Konishi Co Ltd   832 
 120,080   *  Koppers Holdings, Inc   4,341 
 17,084      Korea Kumho Petrochemical   1,099 
 19,252      Korea Petrochemical Ind Co Ltd   4,260 
 9,239      Korea Zinc Co Ltd   3,682 
 22,056   *  Koza Altin Isletmeleri AS   128 
 58,503   *  Kraton Polymers LLC   2,015 
 113,597      Kronos Worldwide, Inc   2,070 
 4,339      Kukdo Chemical Co Ltd   199 
 55,448   e  Kumiai Chemical Industry Co Ltd   321 
 309,249      Kuraray Co Ltd   5,631 
 9,600      Kureha CORP   476 
 13,300   e  Kyoei Steel Ltd   221 
 204,857   e  Labrador Iron Ore Royalty Corp   2,483 
 257,000      Lafarge Malayan Cement BHD   332 
 551      LafargeHolcim Ltd   32 
 517,804      Lanxess AG.   39,270 
 4,450,000      Lee & Man Paper Manufacturing Ltd   4,129 
 1,565,448      LEE Chang Yung Chem IND Corp   2,156 
 37,086      Lenzing AG.   6,646 
 70,451      LG Chem Ltd   17,928 
 24,194      LG Chem Ltd (Preference)   4,272 
 1,136,733      Linde AG.   216,380 
96

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 32,700      Lintec Corp  $784 
 11,066      Lock & Lock Co Ltd   143 
 320,672      Long Chen Paper Co Ltd   359 
 181,304   *,e  Lonmin plc   155 
 2,132,347   *  Louisiana-Pacific Corp   51,411 
 41,899   *,e  LSB Industries, Inc   433 
 644,381      Lucara Diamond Corp   1,371 
 1,600      Lucky Cement Ltd   13 
 476,000      Luks Group Vietnam Holdings Ltd   155 
 46,169   *,e  Lundin Gold, Inc   196 
 1,872,972      Lundin Mining Corp   10,645 
 561,463      LyondellBasell Industries AF S.C.A   47,382 
 76,746      Madras Cements Ltd   824 
 52,018   *  MAG. Silver Corp   679 
 28,460      Magnesita Refratarios S.A.   316 
 84,035   *,e  Major Drilling Group International   550 
 143,709      Marshalls plc   702 
 44,757      Martin Marietta Materials, Inc   9,962 
 42,672      Maruichi Steel Tube Ltd   1,242 
 39,124      Materion Corp   1,463 
 442,600      Metalurgica Gerdau S.A.   664 
 149,892      Methanex Corp   6,617 
 1,086,443      Mexichem SAB de C.V.   2,917 
 851,200   e  Midas Holdings Ltd   139 
 764,500   *,e  Minera Frisco SAB de C.V.   481 
 433,292      Mineral Resources Ltd   3,611 
 131,298      Minerals Technologies, Inc   9,611 
 21,253      Miquel y Costas & Miquel S.A.   777 
 2,454,665      Mitsubishi Chemical Holdings Corp   20,452 
 413,379      Mitsubishi Gas Chemical Co, Inc   8,780 
 106,768      Mitsubishi Materials Corp   3,240 
 16,800   *  Mitsubishi Paper Mills Ltd   121 
 351,000      Mitsubishi Steel Manufacturing Co Ltd   826 
 1,550,383      Mitsui Chemicals, Inc   8,256 
 1,461,000      Mitsui Mining & Smelting Co Ltd   5,726 
 175,199   *  Mittal Steel South Africa Ltd   71 
 587,989      MMC Norilsk Nickel PJSC (ADR)   8,107 
 1,408,000   *,e  MMG Ltd   519 
 21,105      MOIL Ltd   104 
 121,425      Mondi Ltd   3,145 
 658,091      Mondi plc   17,256 
 12,981   *,m  Mongolian Metals Corporation    0 
 704,178   n  Monsanto Co   83,346 
 3,389      Monsanto India Ltd   144 
 299,060      Mosaic Co   6,828 
 297,178      Mpact Ltd   637 
 128,048      M-real Oyj (B Shares)   929 
 51,803      Myers Industries, Inc   930 
 57,868      Mytilineos Holdings S.A.   546 
 66,300      Nakayama Steel Works Ltd   384 
 20,532      Namhae Chemical Corp   194 
 420,425   *  Nampak Ltd   610 
 7,962,071      Nan Ya Plastics Corp   19,749 
 872,855      Nantex Industry Co Ltd   688 
 267,260      National Aluminium Co Ltd   268 
 48,533      Neenah Paper, Inc   3,895 
97

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 63,100      Neturen Co Ltd  $599 
 205,917   e  Nevsun Resources Ltd   497 
 415,979   *  New Gold, Inc   1,322 
 1,053,147      Newcrest Mining Ltd   16,345 
 18,704      NewMarket Corp   8,613 
 1,218,765      Newmont Mining Corp   39,476 
 687,850      Nickel Asia Corp   87 
 31,100      Nihon Nohyaku Co Ltd   184 
 62,000      Nihon Parkerizing Co Ltd   927 
 1,892,902      Nine Dragons Paper Holdings Ltd   2,521 
 638,500      Nippon Denko Co Ltd   2,255 
 147,000      Nippon Kayaku Co Ltd   2,085 
 2,266,100      Nippon Light Metal Holdings Co Ltd   5,394 
 225,932   e  Nippon Paint Co Ltd   8,596 
 200,700   e  Nippon Paper Industries Co Ltd   4,114 
 17,700      Nippon Shokubai Co Ltd   1,143 
 310,000      Nippon Soda Co Ltd   1,719 
 828,045      Nippon Steel Corp   18,764 
 84,900      Nissan Chemical Industries Ltd   2,813 
 41,200      Nisshin Steel Holdings Co Ltd   453 
 12,600      Nittetsu Mining Co Ltd   679 
 170,963      Nitto Denko Corp   14,118 
 173,114      NOF Corp   2,210 
 131,071      Norbord, Inc   4,080 
 1,900,275      Norsk Hydro ASA   10,516 
 8,850,000   *,e  North Mining Shares Co Ltd   187 
 229,985   *  Northam Platinum Ltd   711 
 478,979      Northern Star Resources Ltd   1,752 
 171,679   *,e  Novagold Resources, Inc   778 
 14,129      Novolipetsk Steel (GDR)   273 
 202,560      Novozymes AS   8,862 
 985,872      Nucor Corp   57,052 
 324,913      Nufarm Ltd   2,404 
 52,311   *,e  Nyrstar NV   319 
 1,753,247      OceanaGold Corp   5,286 
 18,283   e  OCI Co LTD   1,433 
 51,571   *  OCI NV   1,136 
 19,589      Oeneo S.A.   209 
 685,143      OJI Paper Co Ltd   3,547 
 36,000   e  Okamoto Industries, Inc   419 
 5,897,990      Olin Corp   178,591 
 78,403      Olympic Steel, Inc   1,527 
 45,606      Omnia Holdings Ltd   457 
 111,637   *  Omnova Solutions, Inc   1,088 
 366,802      Orica Ltd   5,829 
 44,803      Orient Cement Ltd   98 
 467,000      Oriental Union Chemical Corp   373 
 124,150   *  Orocobre Ltd   331 
 2,111,481      Orora Ltd   4,640 
 7,900      Osaka Steel Co Ltd   153 
 87,925      Osisko Gold Royalties Ltd   1,075 
 111,021   *  Osisko Mining, Inc   351 
 261,927      Outokumpu Oyj   2,090 
 579,185   *  Owens-Illinois, Inc   13,854 
 491,793      Oxiana Ltd   2,799 
 94,507   e  Pacific Metals Co Ltd   249 
98

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 8,900      Pack Corp  $282 
 424,646      Packaging Corp of America   47,301 
 571,652      Pact Group Holdings Ltd   2,631 
 1,564,617      Pan African Resources plc   280 
 281,478      Pan American Silver Corp   4,734 
 214,183      Papeles y Cartones de Europa S.A.   1,835 
 392,900   *  Pelat Timah Nusantara Tbk PT   142 
 2,064,997      Petkim Petrokimya Holding   3,557 
 653,847      Petra Diamonds Ltd   930 
 2,694,616      Petronas Chemicals Group BHD   4,457 
 86,044      PH Glatfelter Co   1,681 
 97,623      PhosAgro OAO (ADR)   1,296 
 70,593      PI Industries Ltd   915 
 800,819   *,e  Pilbara Minerals Ltd   234 
 6,288      Plastivaloire   179 
 694,191   *  Platform Specialty Products Corp   8,802 
 179,122      PolyOne Corp   6,939 
 20,000   *  Polyus PJSC (ADR)   672 
 4,953      Poongsan   235 
 93,209      Poongsan Corp   3,503 
 1,072,114      Portucel Empresa Produtora de Pasta e Papel S.A.   4,627 
 130,902      POSCO   32,790 
 151,399      POSCO Refractories & Environment Co Ltd   2,032 
 810,283   e  Potash Corp of Saskatchewan   13,215 
 1,102,120   *  PPC Ltd   446 
 437,176      PPG Industries, Inc   48,072 
 937,139      Praxair, Inc   124,218 
 642,902   *,e  Premier Gold Mines Ltd   1,453 
 102,170   *,e  Pretium Resources, Inc   982 
 103,812   *  Prism Cement Ltd   194 
 5,829,804   *  PT Aneka Tambang Tbk   304 
 1,371,000      PT Holcim Indonesia Tbk   77 
 1,481,243      PT Indocement Tunggal Prakarsa Tbk   2,047 
 2,724,098   *  PT Krakatau Steel Tbk   126 
 8,218,300   *,m  PT Sekawan Intipratama Tbk    0^
 1,814,400      PT Semen Baturaja Persero Tbk   434 
 3,128,338      PT Semen Gresik Persero Tbk   2,346 
 2,224,557      PT Timah Tbk   122 
 2,046,000      PT Wijaya Karya Beton Tbk   95 
 6,715,677      PTT Global Chemical PCL (Foreign)   13,558 
 11,834      Qatar National Cement Co   213 
 48,097      Quaker Chemical Corp   6,985 
 264,380   e,m  Quintis Ltd   60 
 42,993      Rallis India Ltd   161 
 176,455   *,e  Ramaco Resources, Inc   1,068 
 81,160      Randgold Resources Ltd   7,202 
 85,269      Rayonier Advanced Materials, Inc   1,340 
 1,350,385      Regis Resources Ltd   3,930 
 193,814      Reliance Steel & Aluminum Co   14,112 
 333,167      Rengo Co Ltd   1,934 
 524,675      Resolute Mining Ltd   481 
 57,470      RHI AG.   2,130 
 44,403   *  Richmont Mines, Inc   346 
 519,152      Rio Tinto Ltd   25,230 
 1,943,685      Rio Tinto plc   82,319 
 18,224   *  Royal Bafokeng Platinum Ltd   48 
99

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 149,726      Royal Gold, Inc  $11,704 
 276,660      RPC Group plc   2,711 
 84,145      RPM International, Inc   4,590 
 32,135   *  Ryerson Holding Corp   318 
 14,405      Sa des Ciments Vicat   1,015 
 50,000      Sakai Chemical Industry Co Ltd   192 
 107,400      Sakata INX Corp   1,717 
 30,554      Salzgitter AG.   1,247 
 2,393      Sam Kwang Glass Ind Co Ltd   131 
 13,881      Samsung Fine Chemicals Co Ltd   478 
 379,651      San Fang Chemical Industry Co Ltd   453 
 712,815      Sandfire Resources NL   3,094 
 103,269   *,e  Sandstorm Gold Ltd   399 
 49,508      Sanyo Chemical Industries Ltd   2,331 
 717,000      Sanyo Special Steel Co Ltd   4,069 
 1,143,049      Sappi Ltd   7,607 
 570,156   *,e  Saracen Mineral Holdings Ltd   513 
 250,677      Satipel Industrial S.A.   618 
 97,549      Scapa Group plc   602 
 319,412   *  Schmolz + Bickenbach AG.   298 
 135,224      Schnitzer Steel Industries, Inc (Class A)   3,408 
 215,312      Schweitzer-Mauduit International, Inc   8,016 
 433,100      Scientex BHD   888 
 95,457      Scotts Miracle-Gro Co (Class A)   8,540 
 26,044   *,e  Seabridge Gold, Inc   280 
 57,933      Seah Besteel Corp   1,548 
 20,084      SeAH Steel Corp   1,707 
 156,359      Sealed Air Corp   6,999 
 877,400      Sekisui Plastics Co Ltd   7,157 
 1,174,889   *  SEMAFO, Inc   2,709 
 84,745      Semapa-Sociedade de Investimento e Gestao   1,643 
 87,783      Sensient Technologies Corp   7,069 
 1,562,545      Sesa Sterlite Ltd   6,007 
 86,889      Severstal (GDR)   1,139 
 29,621   g  SH Kelkar & Co Ltd   121 
 1,431,500      Shandong Chenming Paper Holdings Ltd   1,810 
 227,500      Shandong Chenming Paper Holdings Ltd (Class B)   288 
 280,600   *  Shanghai Chlor-Alkali Chemical Co Ltd   189 
 225,243   *  Shanghai Yaohua Pilkington Glass Co Ltd   153 
 8,283      Sharda Cropchem Ltd   61 
 297,184      Sherwin-Williams Co   104,300 
 25,000      Shikoku Chemicals Corp   307 
 9,620   *  Shine Co Ltd   209 
 547,171      Shin-Etsu Chemical Co Ltd   49,800 
 144,600      Shin-Etsu Polymer Co Ltd   1,131 
 1,188,032      Shinkong Synthetic Fibers Corp   359 
 3,534,000   *  Shougang Concord International Enterprises Co Ltd   111 
 105,500      Showa Denko KK   2,460 
 13,245      Shree Cement Ltd   3,471 
 808,225      Siam Cement PCL (Foreign)   11,938 
 3,233,452      Sibanye Gold Ltd   3,715 
 519,117      Sidi Kerir Petrochemcials Co   474 
 2,250      Sika AG.   14,445 
 256,779      Silgan Holdings, Inc   8,160 
 221,529   *  Silver Standard Resources, Inc   2,151 
 1,101,526   e  Silvercorp Metals, Inc   3,525 
100

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 262,547      Sims Group Ltd  $3,057 
 1,752,000   e  Sinofert Holdings Ltd   222 
 13,836,674      Sinopec Shanghai Petrochemical Co Ltd   7,404 
 2,642,814   *,e  Sirius Minerals plc   1,044 
 10,659      SK Chemicals Co Ltd   686 
 36,181      SKC Co Ltd   1,062 
 10,830      SKCKOLONPI, Inc   207 
 348,965      Smurfit Kappa Group plc   10,863 
 99,188      Sociedad Quimica y Minera de Chile S.A. (Class B)   3,291 
 1,178,560      Soda Sanayii AS   2,197 
 4,174      SODIFF Advanced Materials Co Ltd   723 
 458,019   *,e  SolGold plc   234 
 20,758      Solvay S.A.   2,786 
 12,082      Songwon Industrial Co Ltd   231 
 99,995      Sonoco Products Co   5,142 
 7,202,782      South32 Ltd   14,834 
 13,152   e  South32 Ltd (W/I)   27 
 404,046      Southern Copper Corp (NY)   13,992 
 154,507   *  Ssab Svenskt Stal AB (Series A)   705 
 426,144   *  Ssab Svenskt Stal AB (Series B)   1,581 
 15,969      Ssangyong Cement Industrial Co Ltd   204 
 332,039   *  St Barbara Ltd   744 
 1,221,152      Steel Dynamics, Inc   43,729 
 7,500      Stella Chemifa Corp   194 
 30,156      Stella-Jones, Inc   1,029 
 111,951      Stepan Co   9,755 
 2,972      STO AG.   387 
 606,467      Stora Enso Oyj (R Shares)   7,837 
 322,506   *,e  Stornoway Diamond Corp   191 
 4,404,720      STP & I PCL   1,056 
 643,221      Sumitomo Bakelite Co Ltd   4,549 
 1,508,511      Sumitomo Chemical Co Ltd   8,719 
 619,437      Sumitomo Metal Mining Co Ltd   8,279 
 992,193      Sumitomo Osaka Cement Co Ltd   4,719 
 6,900      Sumitomo Seika Chemicals Co Ltd   339 
 12,012   e  Sumitomo Titanium Corp   199 
 211,875   *  Summit Materials, Inc   6,117 
 198,060   *,e  SunCoke Energy, Inc   2,159 
 2,444,500   *,e,m  Superb Summit International Group Ltd   31 
 7,817,900   *  Superblock PCL-Foreign   320 
 80,088      Supreme Industries Ltd   1,520 
 819,288      Suzano Papel e Celulose S.A.   3,527 
 632,570      Svenska Cellulosa AB (B Shares)   4,785 
 22,479      Symrise AG.   1,595 
 1,517,582      Synthos S.A.   1,986 
 154,290   *,e  Syrah Resources Ltd   328 
 273,531      TA Chen Stainless Pipe   156 
 513      Taekwang Industrial Co Ltd   483 
 741,176      Tahoe Resources, Inc   6,389 
 599,722      Tahoe Resources, Inc (Toronto)   5,170 
 1,054,340      Taiheiyo Cement Corp   3,856 
 3,212,728      Taiwan Cement Corp   3,715 
 749,960      Taiwan Fertilizer Co Ltd   997 
 111,725      Taiwan Hon Chuan Enterprise Co Ltd   223 
 6,243,329      Taiwan Styrene Monomer   4,410 
 11,600      Taiyo Ink Manufacturing Co Ltd   523 
101

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 17,915      Taiyo Nippon Sanso Corp  $202 
 28,000      Takasago International Corp   1,056 
 31,000      Takiron Co Ltd   165 
 738,458      Tata Steel Ltd   6,229 
 924,000      TCC International Holdings Ltd   416 
 6,782      Technosemichem Co Ltd   441 
 900,007      Teck Cominco Ltd   15,602 
 1,698,401      Teijin Ltd   32,774 
 30,900      Tenma Corp   570 
 19,930   *  Tessenderlo Chemie NV   857 
 2,754,806      ThyssenKrupp AG.   78,512 
 174,741   *,e  TimkenSteel Corp   2,686 
 95,112      Titan Cement Co S.A.   2,691 
 23,774   *  TMAC Resources, Inc   266 
 254,500      Toagosei Co Ltd   3,320 
 20,600   e  Toho Titanium Co Ltd   160 
 885,442      Toho Zinc Co Ltd   3,730 
 127,700      Tokai Carbon Co Ltd   709 
 7,000      Tokushu Tokai Holdings Co Ltd   254 
 210,000   *  Tokuyama Corp   1,015 
 25,700      Tokyo Ohka Kogyo Co Ltd   859 
 8,379      Tokyo Rope Manufacturing Co Ltd   128 
 63,600      Tokyo Steel Manufacturing Co Ltd   539 
 352,750      Ton Yi Industrial Corp   170 
 80,511   b  Tong Yang Major Corp   160 
 1,416,000   *  Tongfang Kontafarma Holdings Ltd   89 
 28,411   *  Tongyang Cement & Energy Corp   97 
 56,200      Topy Industries Ltd   1,679 
 302,590      Toray Industries, Inc   2,539 
 53,322   *  Torex Gold Resources, Inc   1,017 
 1,178,000      Tosoh Corp   12,141 
 290,000      Toyo Ink Manufacturing Co Ltd   1,527 
 29,600      Toyo Kohan Co Ltd   110 
 117,941      Toyo Seikan Kaisha Ltd   1,997 
 6,929,676      Toyobo Co Ltd   12,720 
 40,146   *  Trecora Resources   452 
 50,031      Tredegar Corp   763 
 148,505      Trinseo S.A.   10,202 
 619,073      Tronox Ltd   9,360 
 457,000      TSRC Corp   526 
 71,975      Tubacex S.A.   274 
 1,460,000      Tung Ho Steel Enterprise Corp   1,161 
 1,149,415   *  Turquoise Hill Resources Ltd   3,058 
 2,735,647      UBE Industries Ltd   7,062 
 14,369   *  UFP Technologies, Inc   407 
 110,604      Ultra Tech Cement Ltd   6,771 
 17,944      Umicore   1,248 
 14,284      Unid Co Ltd   602 
 549,027      United Phosphorus Ltd   7,137 
 3,914      United States Lime & Minerals, Inc   307 
 517,493   e  United States Steel Corp   11,457 
 387,065      Universal Cement Corp   319 
 1,782,532      UPC Technology Corp   794 
 1,534,335      UPM-Kymmene Oyj   43,751 
 30,004   *,e  US Concrete, Inc   2,357 
102

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,780,870      USI Corp  $908 
 302,100   *  Usinas Siderurgicas de Minas Gerais S.A. (Preference)   419 
 2,160,844      Vale S.A.   18,915 
 3,493,126      Vale S.A. (Preference)   28,374 
 147,512      Valhi, Inc   440 
 3,635,874      Valvoline, Inc   86,243 
 142,868      Vedanta Resources plc   1,194 
 65,653   *  Verso Corp   308 
 164,643      Victrex plc   4,022 
 10,921      Vinati Organics Ltd   155 
 104,319      Voestalpine AG.   4,862 
 2,126,320      Volcan Cia Minera S.A.   544 
 66,175      Vulcan Materials Co   8,383 
 219,322   e  Wacker Chemie AG.   23,870 
 33,111   e  Warrior Met Coal, Inc   567 
 9,818,500      Waskita Beton Precast Tbk PT   354 
 1,756,000   *,e  West China Cement Ltd   265 
 242,055      West Fraser Timber Co Ltd   11,457 
 697,113   *,e  Western Areas NL   1,131 
 845,648      Western Forest Products, Inc   1,526 
 131,494   *  Westgold Resources Ltd   186 
 1,207,545      Westlake Chemical Corp   79,952 
 773,916      WestRock Co   43,850 
 699,701      Wheaton Precious Metals Corp   13,899 
 4,710,584      Wienerberger AG.   107,162 
 52,118      Winpak Ltd   2,340 
 2,574   *  Wonik Materials Co Ltd   173 
 228,516   *  Worthington Industries, Inc   11,476 
 2,657,503   n  WR Grace & Co   191,367 
 113,813   e  W-Scope Corp   1,999 
 604,000   *  Xinjiang Xinxin Mining Industry Co Ltd   70 
 759,452      Yamana Gold, Inc   1,833 
 27,900      Yamato Kogyo Co Ltd   717 
 185,845      Yara International ASA   6,988 
 59,573      Yeong Guan Energy Technology Group Co Ltd   184 
 151,100      Yeun Chyang Industrial Co Ltd   130 
 721,577   *  Yieh Phui Enterprise   316 
 542,000      Yip’s Chemical Holdings Ltd   221 
 52,600      Yodogawa Steel Works Ltd   1,393 
 491   *  Yonwoo Co Ltd   12 
 10,895      Youlchon Chemical Co Ltd   133 
 668,285      Yuen Foong Yu Paper Manufacturing Co Ltd   209 
 1,191,410      Yule Catto & Co plc   7,574 
 97,000      Yung Chi Paint & Varnish Manufacturing Co Ltd   265 
 36,782      Zaklady Azotowe w Tarnowie-Moscicach S.A.   628 
 725,602      Zeon Corp   7,767 
 647,000   e  Zhaojin Mining Industry Co Ltd   530 
 20,155      Zignago Vetro S.p.A.   169 
 8,658,731      Zijin Mining Group Co Ltd   2,861 
        TOTAL MATERIALS   6,021,963 
                
MEDIA - 2.7%
 16,700   e  ABB ASEA Brown Boveri Ltd   219 
 1,624,920      ABS-CBN Holdings Corp (ADR)   1,344 
 97,307      Aimia, Inc   130 
 12,847,467   *,e  Alibaba Pictures Group Ltd   2,138 
103

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 327,804   *  Altice NV (Class A)  $7,552 
 75,357   *  Altice NV (Class B)   1,738 
 108,242   e  AMC Entertainment Holdings, Inc   2,463 
 493,331   *  AMC Networks, Inc   26,349 
 6,800      Amuse, Inc   185 
 64,282   e  Antena 3 de Television S.A.   753 
 3,001      APG SGA S.A.   1,455 
 112,829      APN Outdoor Group Ltd   417 
 89,200      Asatsu-DK, Inc   2,237 
 267,582      Ascential plc   1,128 
 9,867,400      Asian Pay Television Trust   4,085 
 3,310,470      Astro Malaysia Holdings BHD   1,951 
 22,559      Avex Group Holdings, Inc   303 
 45,774   e  Axel Springer AG.   2,753 
 8,230   e  Beasley Broadcasting Group, Inc   81 
 105,400      BEC World PCL   65 
 333,000      BEC World PCL (Foreign)   206 
 110,937   *  Besiktas Futbol Yatirimlari Sanayi ve Ticaret AS   138 
 3,916,000      Big Media Group Ltd   148 
 299,989      Borussia Dortmund GmbH & Co KGaA   2,090 
 2,112      Cable One, Inc   1,501 
 48,413      Cairo Communication S.p.A.   212 
 2,451,377   e  CBS Corp (Class B)   156,349 
 50,349   *  Central European Media Enterprises Ltd (Class A)   204 
 167,398   *,e  Central European Media Enterprises Ltd (Class A) (NASDAQ)   670 
 419,170   *  Charter Communications, Inc   141,197 
 70,471      Cheil Communications, Inc   1,133 
 161,865   *,m  Chennai Super Kings Cricket Ltd   6 
 348,256      Cinemark Holdings, Inc   13,530 
 88,261   e  Cineplex Galaxy Income Fund   3,598 
 492,356      Cineworld Group plc   4,500 
 9,734      CJ CGV Co Ltd   626 
 20,955      CJ E&M Corp   1,389 
 16,923      CJ Hellovision Co Ltd   135 
 98,343      Clear Channel Outdoor Holdings, Inc (Class A)   477 
 11,973      Cogeco Communications, Inc   731 
 16,188      Cogeco, Inc   843 
 17,945,833      Comcast Corp (Class A)   698,452 
 132,465   *  Corus Entertainment, Inc   1,392 
 32,132      CTS Eventim AG.   1,423 
 67,600      CyberAgent, Inc   2,099 
 166,527   *  Cyfrowy Polsat S.A.   1,109 
 24,900      Daiichikosho Co Ltd   1,170 
 2,416   *,e  Daily Journal Corp   498 
 496,689      Daily Mail & General Trust   4,315 
 94,055      Dentsu, Inc   4,512 
 277,365      DHX Media Ltd   1,226 
 5,490,000   *,e  Digital Domain Holdings Ltd   222 
 438,827   *,e  Discovery Communications, Inc (Class A)   11,335 
 210,427   *  Discovery Communications, Inc (Class C)   5,305 
 816,473   *  DISH Network Corp (Class A)   51,242 
 119,110      Emerald Expositions Events, Inc   2,609 
 54,701   e  Entercom Communications Corp (Class A)   566 
 288,775      Entertainment One Ltd   829 
 375,530      Entravision Communications Corp (Class A)   2,479 
104

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 54,348   *,e  Eros International plc  $622 
 4,000,000   *  eSun Holdings Ltd   457 
 47,511      Eutelsat Communications   1,212 
 117,978   *  EW Scripps Co (Class A)   2,101 
 198   *  Fenerbahce Sportif Hizmetleri Sanayi ve Ticaret AS   2 
 354,000      Fuji Television Network, Inc   4,826 
 223,117      Gannett Co, Inc   1,946 
 599,481      Gestevision Telecinco S.A.   7,466 
 97,913   *  Global Eagle Entertainment, Inc   349 
 241,702   *  Gray Television, Inc   3,311 
 2,429,527      Grupo Televisa S.A.   11,841 
 104,875   *  Gruppo Editoriale L’Espresso S.p.A.   95 
 36,711      Hakuhodo DY Holdings, Inc   489 
 177,565      Havas S.A.   1,870 
 52,004   *  Hemisphere Media Group, Inc   616 
 174,496      HT&E Ltd   354 
 690,000   *,e  Huanxi Media Group Ltd   174 
 3,200,000   e  Huayi Tencent Entertainment Co Ltd   135 
 31,849      Hyundai Hy Communications & Network Co   122 
 284,979   *  IBN18 Broadcast Ltd   159 
 75,300   *,e,g  IMAX China Holding, Inc   231 
 610,877   *,e  Imax Corp   13,439 
 711,449      Informa plc   6,206 
 5,775      Innocean Worldwide, Inc   322 
 37,187   *  Inox Leisure Ltd   158 
 3,639,945      Interpublic Group of Cos, Inc   89,543 
 65,946      IPSOS   2,474 
 268,538      ITE Group plc   539 
 7,115,189      ITV plc   16,842 
 129,512      Jagran Prakashan Ltd   367 
 328,829      JC Decaux S.A.   10,781 
 27,289   *  Jcontentree Corp   93 
 1,537,018      John Fairfax Holdings Ltd   1,300 
 100,947      John Wiley & Sons, Inc (Class A)   5,325 
 293,181   *,e  Juventus Football Club S.p.A.   177 
 70      Kabel Deutschland Holding AG.   9 
 122,032      Kadokawa Dwango Corp   1,579 
 14,957   e  Kinepolis Group NV   830 
 49,483      KT Skylife Co Ltd   707 
 26,917      Lagardere S.C.A.   849 
 19,202   *  Liberty Braves Group (Class A)   459 
 67,747   *  Liberty Braves Group (Class C)   1,624 
 58,650   *  Liberty Broadband Corp (Class A)   5,032 
 229,480   *  Liberty Broadband Corp (Class C)   19,907 
 10,763   *  Liberty Global plc   336 
 201,068   *  Liberty Global plc (Class A)   6,458 
 135   *,e  Liberty Global plc LiLAC (Class A)   3 
 380   *  Liberty Global plc LiLAC (Class C)   8 
 48,369   *,e  Liberty Media Group (Class A)   1,694 
 235,905   *,e  Liberty Media Group (Class C)   8,639 
 237,098   *  Liberty SiriusXM Group (Class A)   9,953 
 444,604   *  Liberty SiriusXM Group (Class C)   18,540 
 162,257   *  Lions Gate Entertainment Corp (Class A)   4,579 
 341,869   *  Lions Gate Entertainment Corp (Class B)   8,984 
 551,076   *  Live Nation, Inc   19,205 
 3,721      Loen Entertainment, Inc   284 
105

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 25,415   *  Loral Space & Communications, Inc  $1,056 
 183,415      M6-Metropole Television   4,264 
 41,476   *  Madison Square Garden Co   8,167 
 383,300      Major Cineplex Group PCL-Foreign   381 
 647,086      MDC Partners, Inc   6,406 
 1,275,200      Media Prima BHD   279 
 316,324      Mediaset S.p.A.   1,246 
 1,780,000   *  Mei Ah Entertainment Group Ltd   86 
 195,464   e  Meredith Corp   11,620 
 151,753      Modern Times Group AB (B Shares)   5,223 
 138,358   *  MSG Networks, Inc   3,106 
 245,800      Multiplus S.A.   2,881 
 9,600,000      Nan Hai Corp Ltd   306 
 2,498      Nasmedia Co Ltd   118 
 780,350      Naspers Ltd (N Shares)   153,676 
 264,766      National CineMedia, Inc   1,965 
 46,713   *  Navneet Publications India   129 
 205,208      New Media Investment Group, Inc   2,766 
 247,969      New York Times Co (Class A)   4,389 
 347,534      News Corp   4,761 
 115,089      News Corp (Class B)   1,629 
 108,365      Nexstar Broadcasting Group, Inc (Class A)   6,480 
 35,600   e  Next Co Ltd   313 
 1,130,720   e  Nine Entertainment Co Holdings Ltd   1,199 
 204,318      Omnicom Group, Inc   16,938 
 109,217      oOh!media Ltd   346 
 576,260      Pearson plc   5,189 
 446,000      Phoenix Satellite Television Holdings Ltd   66 
 443,900      Plan B Media PCL   74 
 179,000      Poly Culture Group Corp Ltd   422 
 25,493   *  Promotora de Informaciones S.A.   68 
 715,656      ProSiebenSat. Media AG.   30,021 
 7,300      Proto Corp   114 
 14,785,000   *  PT Bhakti Investama Tbk   131 
 4,386,400      PT Global MediaCom Tbk   191 
 4,422,138      PT Media Nusantara Citra Tbk   610 
 171,321      PT Multimedia Servicos de Telecomunicacoes e Multimedia SGPS S.A.   1,040 
 16,678,436      PT Surya Citra Media Tbk   3,241 
 5,297,100   *  PT Visi Media Asia Tbk   143 
 54,103      Publicis Groupe S.A.   4,032 
 33,668      PVR Ltd   733 
 174,348      Quebecor, Inc   5,770 
 69,697   g  RAI Way S.p.A   348 
 369   *  RCS MediaGroup S.p.A.   1 
 85,070      REA Group Ltd   4,340 
 41,128   *  Reading International, Inc   663 
 3,101,149      Reed Elsevier NV   63,936 
 1,893,767      Reed Elsevier plc   40,938 
 351,797   e  Regal Entertainment Group (Class A)   7,198 
 407,000      RS PCL   152 
 279,088      RTL Group   21,085 
 7,710   e  Saga Communications, Inc   353 
 21,857      Salem Communications   155 
 225,337      Sanoma-WSOY Oyj   2,105 
 36,431      SBS Media Holdings Co Ltd   95 
106

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 11,193      Schibsted ASA  $270 
 71,294      Schibsted ASA (B Shares)   1,577 
 55,938      Scholastic Corp   2,438 
 839,654      Scripps Networks Interactive (Class A)   57,357 
 104,000   e  Septeni Holdings Co Ltd   327 
 147,256      SES Global S.A.   3,450 
 327,739   e  Shaw Communications, Inc (B Shares)   7,150 
 64,000      Shochiku Co Ltd   817 
 23,298      SHOWBOX Corp   124 
 279,367   e  Sinclair Broadcast Group, Inc (Class A)   9,191 
 1,180,701   e  Singapore Press Holdings Ltd   2,770 
 3,143,133   e  Sirius XM Holdings, Inc   17,193 
 2,690   *  SITI Networks Ltd   1 
 1,176,065      Sky Network Television Ltd   2,974 
 546,300      Sky Perfect Jsat Corp   2,353 
 1,667,489      Sky plc   21,596 
 12,619   *  SM Entertainment Co   290 
 793,600   e  SMI Holdings Group Ltd   351 
 56,200      Smiles S.A.   1,024 
 29,832      Societe Television Francaise 1   417 
 388,672   *  Solocal Group   507 
 2,108,323      Southern Cross Media Group   2,017 
 18,474   e  Stroer Out-of-Home Media AG.   1,109 
 585,000      T4F Entretenimento S.A.   1,086 
 177,078      TEGNA, Inc   2,552 
 44,509   *  Telenet Group Holding NV   2,804 
 678,843   e  Television Broadcasts Ltd   2,556 
 3,399,471      Time Warner, Inc   341,341 
 266,088      Time, Inc   3,818 
 10,300      Toei Animation Co Ltd   720 
 767,885      Toei Co Ltd   7,293 
 82,923      Toho Co Ltd   2,557 
 124,900      Tohokushinsha Film Corp   805 
 176,000      Tokyo Broadcasting System, Inc   3,122 
 17,715   *  Townsquare Media, Inc   181 
 148,294      Tribune Co   6,046 
 80,313   *  tronc, Inc   1,035 
 32,057      TV Asahi Corp   579 
 681,500   e  TV Azteca S.A. de C.V.   115 
 1,821,649      Twenty-First Century Fox, Inc   51,626 
 1,019,817      Twenty-First Century Fox, Inc (Class B)   28,422 
 980,630      UBM plc   8,813 
 17,000      Vector, Inc   289 
 1,475,400      VGI Global Media PCL   247 
 217,493      VHQ Media Holdings Ltd   1,102 
 19,342   e  Viacom, Inc   736 
 2,785,406      Viacom, Inc (Class B)   93,506 
 55,114   e  Village Roadshow Ltd   172 
 2,093,600   *,e  Viva China Holdings Ltd   204 
 356,847      Vivendi Universal S.A.   7,946 
 4,466,857      Walt Disney Co   474,604 
 1,069,102      West Australian Newspapers Holdings Ltd   587 
 384,000   *,e  Wisdom Holdings Group   67 
 17,443   *  Woongjin Thinkbig Co Ltd   127 
 119,800      Workpoint Entertainment PCL   220 
 75,573   e  World Wrestling Entertainment, Inc (Class A)   1,539 
107

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 5,600      Wowow, Inc  $152 
 247,341      WPP AUNZ Ltd   238 
 3,536,948      WPP plc   74,476 
 7,017      YG Entertainment, Inc   193 
 2,930,072   *  Zee Entertainment Enterprises Ltd   3,628 
 611,196      ZEE Telefilms Ltd   4,639 
 16,600      Zenrin Co Ltd   482 
        TOTAL MEDIA   3,172,307 
                
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 7.5%
 1,152,000   *,e,g  3SBio, Inc   1,529 
 13,386   *,e  AB Science S.A.   162 
 4,297,149      AbbVie, Inc   311,586 
 598,156      Abcam plc   7,584 
 48,508   *,e  Abeona Therapeutics, Inc   310 
 37,347   *,e  Ablynx NV   481 
 207,408   *,e  Acadia Pharmaceuticals, Inc   5,785 
 50,980   *,e  Accelerate Diagnostics, Inc   1,394 
 63,364   *  Acceleron Pharma, Inc   1,926 
 57,347   *,e  Achaogen, Inc   1,246 
 342,680   *  Achillion Pharmaceuticals, Inc   1,573 
 200,151   *,e  Aclaris Therapeutics, Inc   5,428 
 190,962   *  Acorda Therapeutics, Inc   3,762 
 32,324   *,e  Adamas Pharmaceuticals, Inc   565 
 47,358      Adcock Ingram Holdings Ltd   214 
 79,512   *,e  Aduro Biotech, Inc   906 
 71,865   *,e  Advaxis, Inc   466 
 102,431   *  Aerie Pharmaceuticals, Inc   5,383 
 147,787   *  Agenus, Inc   578 
 1,721,919      Agilent Technologies, Inc   102,127 
 80,389   *,e  Agios Pharmaceuticals, Inc   4,136 
 69,535   *,e  Aimmune Therapeutics, Inc   1,430 
 35,154      Ajanta Pharma Ltd   840 
 225,757   *  Akebia Therapeutics, Inc   3,244 
 279,999   *  Akorn, Inc   9,391 
 52,234   *,e  Albany Molecular Research, Inc   1,133 
 131,180   *,e  Alder Biopharmaceuticals, Inc   1,502 
 77,613      Alembic Pharmaceuticals Ltd   607 
 1,647,860   *,n  Alexion Pharmaceuticals, Inc   200,495 
 4,262      ALK-Abello AS   636 
 125,426   *  Alkermes plc   7,271 
 1,612,749      Allergan plc   392,043 
 442,649   *,e,n  Alnylam Pharmaceuticals, Inc   35,306 
 147,530   *,e  AMAG Pharmaceuticals, Inc   2,715 
 1,862,501      Amgen, Inc   320,779 
 4,457      Amicogen, Inc   157 
 381,230   *,e  Amicus Therapeutics, Inc   3,839 
 72,376   *,e  Amphastar Pharmaceuticals, Inc   1,293 
 10,042   *,e  AnaptysBio, Inc   240 
 73,883   *,e  Anavex Life Sciences Corp   393 
 15,839   *  ANI Pharmaceuticals, Inc   741 
 84   *,e  AquaBounty Technologies, Inc   1 
 197,414   *  Aratana Therapeutics, Inc   1,427 
 61,270   *  Ardelyx, Inc   312 
 86,149   *  Arena Pharmaceuticals, Inc   1,453 
108

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 443,290   *,e  Array Biopharma, Inc  $3,710 
 111,341      Ascendis Health Ltd   184 
 102,100      ASKA Pharmaceutical Co Ltd   1,533 
 379,310      Aspen Pharmacare Holdings Ltd   8,323 
 35,010   *  Assembly Biosciences, Inc   723 
 1,672,952      Astellas Pharma, Inc   20,505 
 55,883   *,e  Asterias Biotherapeutics, Inc   198 
 1,179,054      AstraZeneca plc   78,977 
 987,803      AstraZeneca plc (ADR)   33,674 
 50,524   *,e  Atara Biotherapeutics, Inc   707 
 6,242   *  ATGen Co Ltd   183 
 206,854   *,e  Athersys, Inc   312 
 53,795   *  Audentes Therapeutics, Inc   1,029 
 582,235      Aurobindo Pharma Ltd   6,162 
 40,276   *,e  Avexis, Inc   3,309 
 61,237   *,e  Axovant Sciences Ltd   1,420 
 3,792      Bachem Holding AG.   433 
 10,541   *,e  Basilea Pharmaceutica   890 
 20,993   *,e  Bavarian Nordic AS   1,237 
 1,801,262      Bayer AG.   233,462 
 484,000   e  Beijing Tong Ren Tang Chinese Medicine Co Ltd   708 
 53,819   *,e  Bellicum Pharmaceuticals, Inc   629 
 17,626   *  Binex Co Ltd   180 
 292,269      Biocon Ltd   1,497 
 310,870   *,e  BioCryst Pharmaceuticals, Inc   1,728 
 42,031      Biogaia AB (B Shares)   1,709 
 361,261   *  Biogen Idec, Inc   98,032 
 78,623   *  Biohaven Pharmaceutical Holding Co Ltd   1,966 
 1,044,689   *,n  BioMarin Pharmaceutical, Inc   94,879 
 74,440   *  Bio-Rad Laboratories, Inc (Class A)   16,847 
 27,334   *  Biospecifics Technologies Corp   1,353 
 90,570      Bio-Techne Corp   10,642 
 5,149   *  Biotest AG.   166 
 14,357      Biotest AG. (Preference)   361 
 151,748   *,e  BioTime, Inc   478 
 232,583   *  Bioverativ, Inc   13,995 
 108,814   *,e  Biovitrum AB   1,681 
 180,125   *  Bluebird Bio, Inc   18,922 
 93,797   *  Blueprint Medicines Corp   4,753 
 12,931      Boiron S.A.   1,276 
 3,262      Boryung Pharmaceutical Co Ltd   143 
 3,754,820      Bristol-Myers Squibb Co   209,219 
 389,912      Bruker BioSciences Corp   11,245 
 257,025   *  BTG plc   2,336 
 16,755      Bukwang Pharmaceutical Co Ltd   313 
 452,283      Cadila Healthcare Ltd   3,672 
 161,800   *  Calithera Biosciences, Inc   2,403 
 90,293   *  Cambrex Corp   5,395 
 11,053   *  Camurus AB   180 
 102,917   *,e  Canopy Growth Corp   633 
 265,823   *,e  Cara Therapeutics Inc   4,091 
 1,972      Caregen Co Ltd   110 
 67,233   *  Cascadian Therapeutics, Inc   250 
 438,730   *  Catalent, Inc   15,399 
 140,491   *,e  Catalyst Pharmaceuticals, Inc   388 
109

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 2,675,911   *  Celgene Corp  $347,520 
 3,793      Cell Biotech Co Ltd   129 
 241,422   *,e  Celldex Therapeutics, Inc   596 
 17,609   *,e  Cellectis S.A.   458 
 10,399   *  Celltrion Pharm Inc   201 
 82,256   *,e  Celltrion, Inc   8,272 
 371,521   *  Cempra, Inc   1,709 
 94,411   *  Center Laboratories, Inc   189 
 169,852   *  Charles River Laboratories International, Inc   17,181 
 91,704   *  ChemoCentryx, Inc   858 
 93,805   *  Chimerix, Inc   511 
 10,235,300   *,e,m  China Animal Healthcare Ltd   13 
 3,704,900   e  China Medical System Holdings Ltd   6,406 
 7,125,000   *  China Regenerative Medicine International Ltd   225 
 668,000      China Shineway Pharmaceutical Group Ltd   675 
 33,733      Chong Kun Dang Pharm Corp   2,256 
 27,016      Chong Kun Dang Pharmaceutical Corp   2,880 
 8,050      Choongwae Pharma Corp   331 
 362,100      Chugai Pharmaceutical Co Ltd   13,566 
 322,131      Cipla Ltd   2,769 
 2,052,000   e  CK Life Sciences International Holdings, Inc   173 
 0   *  Clal Biotechnology Industries Ltd   0^
 41,108   *,e  Clearside Biomedical, Inc   375 
 76,897      Clinigen Group plc   862 
 291,023   *  Clovis Oncology, Inc   27,248 
 55,238   *,e  CMG Pharmaceutical Co Ltd   159 
 36,900      CMIC Co Ltd   508 
 973,240   *  Coherus Biosciences, Inc   13,966 
 44,901   *,e  Collegium Pharmaceutical, Inc   562 
 118,580   *  Concert Pharmaceuticals Inc   1,654 
 1,240,000   e  Consun Pharmaceutical Group Ltd   963 
 50,865   *,e  Contatus Pharmaceuticals, Inc   293 
 87,734   *,e  Corbus Pharmaceuticals Holdings, Inc   553 
 281,796   *,e  Corcept Therapeutics, Inc   3,325 
 39,825   *  Corium International, Inc   297 
 16,637   *,e  Corvus Pharmaceuticals, Inc   201 
 24,424      COSMO Pharmaceuticals NV   4,287 
 13,929   *  CrystalGenomics, Inc   184 
 546,492      CSL Ltd   57,999 
 10,521,961      CSPC Pharmaceutical Group Ltd   15,368 
 226,810   *,e  Curis, Inc   429 
 229,264   *  Cytokinetics, Inc   2,774 
 148,241   *  CytomX Therapeutics, Inc   2,298 
 7,467      Dae Hwa Pharmaceutical Co Ltd   148 
 91,960      Daewon Pharmaceutical Co Ltd   1,571 
 65,835      Daewoong Co Ltd   754 
 3,238      Daewoong Pharmaceutical Co Ltd   243 
 857,852      Daiichi Sankyo Co Ltd   20,248 
 1,160,000      Dawnrays Pharmaceutical Holdings Ltd   755 
 12,012   *,e  DBV Technologies S.A.   848 
 62,071      Dechra Pharmaceuticals plc   1,376 
 209,566   *,e  Depomed, Inc   2,251 
 75,167   *  Dermira, Inc   2,190 
 53,731      Divi S Laboratories Ltd   538 
 13,848      Dong-A Pharmaceutical Co Ltd   1,641 
 2,924      Dong-A ST Co Ltd   236 
110

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 25,163      DongKook Pharmaceutical Co Ltd  $1,389 
 146,304      Dr Reddy’s Laboratories Ltd   6,100 
 312,168   *  Durect Corp   487 
 96,719   *,e  Dynavax Technologies Corp   933 
 16,366   *,e  Eagle Pharmaceuticals, Inc   1,291 
 38,008   *,e  Edge Therapeutics, Inc   390 
 125,423   *,e  Editas Medicine, Inc   2,105 
 211,361      Eisai Co Ltd   11,694 
 3,237,384      Eli Lilly & Co   266,437 
 66,084   *  Emergent Biosolutions, Inc   2,241 
 31,165   *  Enanta Pharmaceuticals, Inc   1,121 
 488,272   *  Endo International plc   5,454 
 506,865   *  Enzo Biochem, Inc   5,596 
 118,669   *  Epizyme, Inc   1,792 
 23,400      EPS Co Ltd   367 
 29,380   *,e  Esperion Thereapeutics, Inc   1,360 
 12,487      Eurofins Scientific   7,045 
 97,310   *  Evotec AG.   1,556 
 241,390   *,e  Exact Sciences Corp   8,538 
 1,136,357   *  Exelixis, Inc   27,988 
 470,004      Faes Farma S.A. (Sigma)   1,562 
 90,639   *  Fate Therapeutics, Inc   294 
 77,873      FDC Ltd   220 
 263,881   *  FibroGen, Inc   8,523 
 67,102   *  Five Prime Therapeutics, Inc   2,020 
 54,939   *,e  Flexion Therapeutics Inc   1,111 
 58,886   *  Fluidigm Corp   238 
 72,474   *,e  Fortress Biotech, Inc   344 
 28,460   *,e  Foundation Medicine, Inc   1,131 
 3,900      Fuji Pharma Co Ltd   133 
 81,204   *  Galapagos NV   6,208 
 6,904   *  Genexine Co Ltd   291 
 20,332   *,e  Genfit   692 
 54,831   *  Genmab AS   11,691 
 56,819   *,e  Genocea Biosciences Inc   297 
 38,613   *  Genomic Health, Inc   1,257 
 549,900   *  Genomma Lab Internacional S.A. de C.V.   708 
 268,000   e  Genscript Biotech Corp   145 
 64,257      Genus plc   1,490 
 298,642   *,e  Geron Corp   827 
 20,952      Gerresheimer AG.   1,686 
 3,100,225      Gilead Sciences, Inc   219,434 
 7,150,814      GlaxoSmithKline plc   152,221 
 218,057      Glenmark Pharmaceuticals Ltd   2,134 
 228,595   *  Global Blood Therapeutics, Inc   6,252 
 72,000   *  GNI Group Ltd   425 
 244,785      Granules India Ltd   505 
 4,004      Green Cross Corp   611 
 16,182      Green Cross Holdings Corp   450 
 328,790      Grifols S.A.   9,167 
 8   *,m  GW Pharmaceuticals plc   0^
 470,352      H Lundbeck AS   26,404 
 216,505   *,e  Halozyme Therapeutics, Inc   2,776 
 18,222   *  Han All Pharmarceutical Co   208 
 3,428      Handok Pharmaceuticals Co Ltd   77 
 13,559   e  Hanmi Holdings Co Ltd   999 
111

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 5,939      Hanmi Pharm Co Ltd  $1,936 
 16,203   *  Hansa Medical AB   415 
 5,100   *,e  HEALIOS KK   70 
 89,447   *,e  Heron Therapeutics, Inc   1,239 
 33,568   *  Heska Corp   3,426 
 39,598   e  Hikma Pharmaceuticals plc   758 
 61,439      Hisamitsu Pharmaceutical Co, Inc   2,946 
 339,127   *  Horizon Pharma plc   4,025 
 11,004,062   e,m  Hua Han Bio-Pharmaceutical Holdings Ltd   14 
 1,734   *  Hugel, Inc   848 
 3,150      Humedix Co Ltd   87 
 2,490   *  Huons Co Ltd   129 
 25,993   *  Hutchison China MediTech Ltd   1,223 
 352,267      Hypermarcas S.A.   2,956 
 204,137   *,e  Idera Pharmaceuticals, Inc   351 
 218,378   *  Idorsia Ltd   4,122 
 251,627   *  Ignyta, Inc   2,604 
 49,886      Il Dong Pharmaceutical Co Ltd   911 
 636,451   *,n  Illumina, Inc   110,437 
 9,210      Ilyang Pharmaceutical Co Ltd   328 
 56,735   *,e  Immune Design Corp   553 
 186,791   *,e  Immunogen, Inc   1,328 
 203,112   *,e  Immunomedics, Inc   1,793 
 185,311   *  Impax Laboratories, Inc   2,984 
 249,783   *  INC Research Holdings, Inc   14,612 
 489,878   *  Incyte Corp   61,681 
 841,217      Indivior plc   3,425 
 426,700   *  Indofarma Persero Tbk PT   94 
 28,789   *,e  Innate Pharma S.A.   360 
 254,763   *  Innoviva, Inc   3,261 
 131,665   *,e  Inovio Pharmaceuticals, Inc   1,032 
 168,073   *,e  Insmed, Inc   2,884 
 46,567   *,e  Insys Therapeutics, Inc   589 
 58,592   *,e  Intellia Therapeutics, Inc   937 
 49,201   *,e  Intercept Pharmaceuticals, Inc   5,957 
 86,398   *  Intersect ENT, Inc   2,415 
 67,168   *,e  Intra-Cellular Therapies, Inc   834 
 111,115   *,e  Intrexon Corp   2,677 
 7,608   *,e  iNtRON Biotechnology, Inc   254 
 77,141   *,e  Invitae Corp   737 
 254,271   *  Ionis Pharmaceuticals, Inc   12,935 
 107,837   *  Iovance Biotherapeutics, Inc   793 
 56,066   *  Ipca Laboratories Ltd   427 
 336,291      Ipsen   46,017 
 266,845   *,e  Ironwood Pharmaceuticals, Inc   5,038 
 36,000   *,e  Japan Tissue Engineering Co Lt   402 
 417,591   *  Jazz Pharmaceuticals plc   64,935 
 18,344      JB Chemicals & Pharmaceuticals Ltd   89 
 9,600      JCR Pharmaceuticals Co Ltd   243 
 4,633   e,m  Jeil Pharmaceutical Co   278 
 8,594,835      Johnson & Johnson   1,137,011 
 60,050   *,e  Jounce Therapeutics, Inc   843 
 121,711      Jubilant Organosys Ltd   1,287 
 142,146   *,e  Juno Therapeutics, Inc   4,249 
 67,962      JW Holdings Corp   574 
112

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 19,398      JW Shinyak Corp  $132 
 42,900      Kaken Pharmaceutical Co Ltd   2,342 
 79,805   *  Karyopharm Therapeutics, Inc   722 
 161,133   *,e  Keryx Biopharmaceuticals, Inc   1,165 
 48,016   *  Kindred Biosciences Inc   413 
 105,300      Kissei Pharmaceutical Co Ltd   2,860 
 110,788   *,e  Kite Pharma, Inc   11,485 
 96,559   *  Knight Therapeutics, Inc   766 
 3,426      Kolon Life Science, Inc   492 
 24,665   *,e  Komipharm International Co Ltd   778 
 31,891      Korea United Pharm Inc   564 
 31,345   *  Kura Oncology, Inc   292 
 84,707      Kwang Dong Pharmaceutical Co Ltd   648 
 59,520      Kyongbo Pharmaceutical Co Ltd   681 
 46,236      Kyorin Co Ltd   1,027 
 478,791      Kyowa Hakko Kogyo Co Ltd   8,905 
 34,633   *,e  La Jolla Pharmaceutical Co   1,031 
 43,095      Laboratorios Almirall S.A.   702 
 54,923   *,e  Lannett Co, Inc   1,120 
 29,654   *  Laurus Labs Ltd   282 
 603,000   e  Lee’s Pharmaceutical Holdings Ltd   503 
 85,250   *,e  Lexicon Pharmaceuticals, Inc   1,402 
 46,142   *  Ligand Pharmaceuticals, Inc (Class B)   5,602 
 6,000      Linical Co Ltd   95 
 154,570      Livzon Pharmaceutical Group, Inc   1,089 
 567,965      Lonza Group AG.   123,030 
 34,000   *  Lotus Pharmaceutical Co Ltd   64 
 40,569   *  Loxo Oncology, Inc   3,253 
 133,115      Luminex Corp   2,811 
 353,236      Lupin Ltd   5,791 
 736,000   e  Luye Pharma Group Ltd   404 
 6,151   *  Macrogen, Inc   152 
 64,840   *  MacroGenics, Inc   1,135 
 7,354   *  Madrigal Pharmaceuticals, Inc   120 
 183,606   *  Mallinckrodt plc   8,227 
 156,930      Marksans Pharma Ltd   99 
 105,420   *  Matinas BioPharma Holdings, Inc   178 
 1,128,950   *,e  Mayne Pharma Group Ltd   942 
 136,465   *,e  Medicines Co   5,187 
 68,261   *,e  MediciNova, Inc   359 
 72,918   *  Medigen Biotechnology Corp   128 
 80,566   *,e  Medpace Holdings, Inc   2,336 
 5,520      Medy-Tox, Inc   2,703 
 259,100      Mega Lifesciences PCL   213 
 8,649,744      Merck & Co, Inc   554,362 
 252,168      Merck KGaA   30,512 
 4,829,031   e  Merrimack Pharmaceuticals, Inc   5,988 
 174,804   *,e  Mesoblast Ltd   279 
 55,809   *  Mettler-Toledo International, Inc   32,846 
 203,601   *,e  MiMedx Group, Inc   3,048 
 65,323   *,e  Minerva Neurosciences, Inc   578 
 25,143   *,e  Miragen Therapeutics, Inc   325 
 9,100      Mochida Pharmaceutical Co Ltd   657 
 5,123   *  Molecular Partners AG.   157 
 331,831   *  Momenta Pharmaceuticals, Inc   5,608 
113

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 19,043   *,e  Morphosys AG.  $1,352 
 2,913,126   *  Mylan NV   113,088 
 90,356   *,e  MyoKardia, Inc   1,184 
 127,917   *,e  Myriad Genetics, Inc   3,305 
 22,200   *,e  NanoCarrier Co Ltd   140 
 59,880   *  NanoString Technologies, Inc   990 
 59,183   *,e  NantKwest, Inc   449 
 81,048      Natco Pharma Ltd   1,255 
 103,645   *  Natera, Inc   1,126 
 9,734   *  Naturalendo Tech Co Ltd   103 
 305,377   *  Nektar Therapeutics   5,970 
 110,674   *,e  NeoGenomics, Inc   992 
 36,751   *,e  Neos Therapeutics, Inc   268 
 192,641   *  Neurocrine Biosciences, Inc   8,861 
 29,320   *  Neuroderm Ltd   877 
 79,094   *,e  NewLink Genetics Corp   581 
 8,769   *  Newron Pharmaceuticals S.p.A   177 
 146,850   e  Nichi-iko Pharmaceutical Co Ltd   2,293 
 33,800      Nippon Shinyaku Co Ltd   2,164 
 27,885   *  Nordic Nanovector ASA   257 
 2,958,240      Novartis AG.   247,092 
 694,952   *,e  Novavax, Inc   799 
 29,826   *  Novelion Therapeutics, Inc   275 
 3,734,006      Novo Nordisk AS   160,440 
 55,425   *,e  Nymox Pharmaceutical Corp   244 
 112,000   *  OBI Pharma, Inc   889 
 97,904   *,e  Ocular Therapeutix, Inc   908 
 119,610   *,e  Omeros Corp   2,381 
 5,854   *  Oncocyte Corp   30 
 76,600   *,e  OncoTherapy Science, Inc   205 
 420,695      Ono Pharmaceutical Co Ltd   9,176 
 736,619   *,e  Opko Health, Inc   4,847 
 192,647   *,e  Organovo Holdings, Inc   507 
 175,810      Orion Oyj (Class B)   11,231 
 55,797   *  Otonomy, Inc   1,052 
 340,846      Otsuka Holdings KK   14,553 
 9,269   *  Ovid therapeutics, Inc   97 
 164,421   *,e  Pacific Biosciences of California, Inc   585 
 162,987   *  Pacira Pharmaceuticals, Inc   7,774 
 1,782,786   *,e  Paion AG.   6,496 
 75,717   *,e  Paratek Pharmaceuticals, Inc   1,825 
 169,479   *  Parexel International Corp   14,729 
 22,585   *  Patheon NV   788 
 322,348      PDL BioPharma, Inc   796 
 49,800   *  PeptiDream, Inc   1,577 
 3,282   *  Peptron, Inc   149 
 333,908      PerkinElmer, Inc   22,753 
 143,299   e  Perrigo Co plc   10,822 
 47,655   *  Pfenex, Inc   191 
 15,845      Pfizer Ltd   443 
 16,661,227      Pfizer, Inc   559,651 
 128,989   *,e  Pharma Mar S.A.   581 
 2,394      PHARMA RESEARCH PRODUCTS Co Ltd   82 
 46,229      PharmaEngine Inc   303 
 100,000   *  PharmaEssentia Corp   483 
 13,000      Pharmally International Holding Co Ltd   196 
114

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 155,857      Phibro Animal Health Corp  $5,775 
 103,650   *,e  Pieris Pharmaceuticals, Inc   524 
 120,059      Piramal Healthcare Ltd   5,191 
 177,952   *  Portola Pharmaceuticals, Inc   9,996 
 181,570   *  PRA Health Sciences, Inc   13,620 
 195,522   *  Prestige Brands Holdings, Inc   10,326 
 16,911      Probi AB   1,164 
 140,461   *  Progenics Pharmaceuticals, Inc   954 
 403,553   *  ProMetic Life Sciences, Inc   523 
 18,512   *,e  Protagonist Therapeutics, Inc   209 
 93,024   *,e  Prothena Corp plc   5,034 
 20,776,131      PT Kalbe Farma Tbk   2,529 
 65,860   *,e  PTC Therapeutics, Inc   1,207 
 102,608   *,e  Puma Biotechnology, Inc   8,968 
 234,307   *  QIAGEN NV   7,796 
 336,701      QIAGEN NV   11,290 
 345,807   *  Quintiles Transnational Holdings, Inc   30,950 
 23,066   *  Ra Pharmaceuticals, Inc   432 
 73,516   *,e  Radius Health, Inc   3,325 
 16,666   *,e  Reata Pharmaceuticals, Inc   527 
 31,017   e  Recipharm AB   454 
 151,569      Recordati S.p.A.   6,149 
 26,911   *,e  Recro Pharma, Inc   189 
 256,760   *  Regeneron Pharmaceuticals, Inc   126,105 
 54,460   *  REGENXBIO, Inc   1,076 
 67,704   *  Repligen Corp   2,806 
 533,085   *  Retrophin, Inc   10,337 
 44,015   *,e  Revance Therapeutics, Inc   1,162 
 3,496      Reyon Pharmaceutical Co Ltd   88 
 247,465      Richter Gedeon Rt   6,470 
 386,701   *  Rigel Pharmaceuticals, Inc   1,056 
 973,741      Roche Holding AG.   248,805 
 166,317      Rohto Pharmaceutical Co Ltd   3,443 
 97,629   *,e  Sage Therapeutics, Inc   7,775 
 37,918      Samjin Pharmaceutical Co Ltd   1,093 
 31,153   *,e  Samsung Biologics Co Ltd   7,947 
 10,300   *,e  SanBio Co Ltd   129 
 141,110   *  Sangamo Biosciences, Inc   1,242 
 8,243      Sanofi India Ltd   530 
 1,951,163      Sanofi-Aventis   186,960 
 141,638      Santen Pharmaceutical Co Ltd   1,924 
 3,333   *,e  Santhera Pharmaceutical Holding AG.   231 
 128,844   *,e  Sarepta Therapeutics, Inc   4,343 
 52,700      Sawai Pharmaceutical Co Ltd   2,960 
 52,962   *,e  Schnell Biopharmaceuticals, Inc   186 
 220,110   *  Sciclone Pharmaceuticals, Inc   2,421 
 177,847      Scinopharm Taiwan Ltd   244 
 49,650      Searle Co Ltd   242 
 649,578   *,n  Seattle Genetics, Inc   33,609 
 51,762   *  Seegene, Inc   1,707 
 1,054,700      Seikagaku Corp   17,600 
 32,978   *,e  Selecta Biosciences, Inc   655 
 62,456   *  Sequent Scientific Ltd   116 
 40,075   *,e  Seres Therapeutics, Inc   453 
 650,000      Shandong Xinhua Pharmaceutical Co Ltd   627 
115

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 193,200      Shanghai Dingli Technology Dev  $174 
 413,251   e  Shanghai Fosun Pharmaceutical Group Co Ltd   1,602 
 159,000   e  Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co Ltd   93 
 31,100   g  Shanghai Haohai Biological Technology Co Ltd   169 
 42,100      Shanghai Shenqi Pharmaceutical Investment Management Co Ltd   50 
 17,808      Shilpa Medicare Ltd   180 
 541,479      Shionogi & Co Ltd   30,192 
 1,105,902      Shire Ltd   60,978 
 13,284      Shire plc (ADR)   2,195 
 6,883      Siegfried Holding AG.   1,945 
 6,357,000      Sihuan Pharmaceutical Holdings   2,661 
 36,491   *  SillaJen, Inc   639 
 4,244,205      Sino Biopharmaceutical   3,753 
 45,959      Sirtex Medical Ltd   574 
 10,700   *,e  Sosei Group   1,177 
 45,832   *  Spark Therapeutics, Inc   2,738 
 156,250   *,e  Spectrum Pharmaceuticals, Inc   1,164 
 4,417,703   e  SSY Group Ltd   1,805 
 44,490      ST Pharm Co Ltd   1,615 
 155,621   e  Stada Arzneimittel AG.   11,054 
 2,694   *  Stallergenes Greer plc   116 
 44,894   *  Stemline Therapeutics, Inc   413 
 67,857      Strides Arcolab Ltd   1,050 
 47,808   *  Strongbridge Biopharma plc   342 
 46,796   *,e  Sucampo Pharmaceuticals, Inc (Class A)   491 
 207,249   e  Sumitomo Dainippon Pharma Co Ltd   2,829 
 40,330   *  Sun Pharma Advanced Research Company Ltd   190 
 1,656,545      Sun Pharmaceutical Industries Ltd   14,231 
 194,884   *  Supernus Pharmaceuticals, Inc   8,400 
 30,912      Suven Life Sciences Ltd   82 
 42,501   *,e  Syndax Pharmaceuticals, Inc   594 
 447,714   *,e  Synergy Pharmaceuticals, Inc   1,992 
 28,580   *  Syngene International Ltd   208 
 24,924   *,e  Syros Pharmaceuticals, Inc   401 
 183,799   *  Taigen Biopharmaceuticals Holdings Ltd   142 
 161,000   *  TaiMed Biologics, Inc   977 
 29,668      Taisho Pharmaceutical Holdings Co Ltd   2,261 
 32,800      Takara Bio, Inc   458 
 1,294,664      Takeda Pharmaceutical Co Ltd   65,729 
 784,078      Tanabe Seiyaku Co Ltd   18,137 
 21,703   *,e  Taro Pharmaceutical Industries Ltd   2,432 
 22,278      Tecan Group AG.   4,195 
 81,621   *,e  Teligent, Inc   747 
 259,976   *  TESARO, Inc   36,360 
 73,193   *  Tetraphase Pharmaceuticals, Inc   522 
 584,576      Teva Pharmaceutical Industries Ltd (ADR)   19,420 
 131,017   *,e  TG Therapeutics, Inc   1,317 
 307,097   *,e  TherapeuticsMD, Inc   1,618 
 100,090   *,e  Theravance Biopharma, Inc   3,988 
 848,317      Thermo Fisher Scientific, Inc   148,006 
 326,400      Tianjin ZhongXin Pharmaceutical Group Corp Ltd   299 
 20,027   *,m  Tobira Therapeutics, Inc   275 
 16,568   *  Tocagen, Inc   199 
 1,283,000      Tong Ren Tang Technologies Co Ltd   1,983 
 8,600      Torii Pharmaceutical Co Ltd   210 
116

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 40,668      Towa Pharmaceutical Co Ltd  $1,901 
 204,965   *  Trevena, Inc   471 
 149,292      Tsumura & Co   6,064 
 152,917      TTY Biopharm Co Ltd   508 
 50,000   *  TWi Pharmaceuticals, Inc   146 
 57,490      UCB S.A.   3,954 
 90,034   *  Ultragenyx Pharmaceutical, Inc   5,592 
 43,462      Unichem Laboratories Ltd   180 
 1,505,500   *,e  United Laboratories Ltd   993 
 59,826   *  United Therapeutics Corp   7,761 
 520,275   *,e  Valeant Pharmaceuticals International, Inc   9,043 
 278,287   *  Vanda Pharmaceuticals, Inc   4,536 
 42,885   *,e  VBI Vaccines, Inc   187 
 437,626   *  Vectura Group plc   638 
 76,991   *,e  Veracyte, Inc   641 
 265,020   *  Versartis, Inc   4,625 
 975,622   *  Vertex Pharmaceuticals, Inc   125,728 
 39,969   e  Vifor Pharma AG.   4,415 
 3,069   *,e  Virbac S.A.   493 
 9,236   *  ViroMed Co Ltd   830 
 10,774      Vitrolife AB   677 
 28,622   *,e  Voyager Therapeutics, Inc   256 
 16,641   *  vTv Therapeutics, Inc   83 
 119,217   *  VWR Corp   3,935 
 228,154   *  Waters Corp   41,944 
 23,581   *,e  WaVe Life Sciences Pte Ltd   439 
 37,579      Whanin Pharmaceutical Co Ltd   594 
 5,114,000   e  Winteam Pharmaceutical Group Ltd   2,947 
 17,667      Wockhardt Ltd   165 
 35,077   *,e  XBiotech, Inc   165 
 184,057   *,e  Xencor Inc   3,885 
 8,605      Yuhan Corp   1,850 
 64,279   *,e  Yungjin Pharmaceutical Co Ltd   637 
 371,050      YungShin Global Holding Corp   527 
 55,210   *  Zafgen, Inc   194 
 14,134   *,e  Zealand Pharma AS   283 
 75,500      Zeria Pharmaceutical Co Ltd   1,399 
 259,681   *,e  ZIOPHARM Oncology, Inc   1,615 
 1,753,448      Zoetis, Inc   109,380 
 49,189   *  Zogenix, Inc   713 
 22,386   *,e  Zynerba Pharmaceuticals, Inc   380 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   8,966,321 
                
REAL ESTATE - 3.7%
 18,050,000      8990 Holdings, Inc   2,358 
 1,649,056      Abacus Property Group   4,106 
 166,261      Acadia Realty Trust   4,622 
 1,837     Activia Properties Inc   7,848 
 44,841   *  ADLER Real Estate AG.   697 
 20,550   g  ADO Properties S.A.   869 
 855     Advance Residence Investment Corp   2,125 
 11,406      Aedifica S.A.   995 
 28,276      Aeon Mall Co Ltd   559 
 7,223   e  AEON REIT Investment Corp   7,960 
 1   *  Africa Israel Investments Ltd   0^
 24,717      Africa Israel Properties Ltd   524 
117

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,086,518      Agile Property Holdings Ltd  $995 
 110,477      Agree Realty Corp   5,068 
 485,841      AIMS AMP Capital Industrial REIT   522 
 61,592   *  Airport City Ltd   852 
 2,881,354      Aldar Properties PJSC   1,798 
 133,779      Alexander & Baldwin, Inc   5,536 
 5,525      Alexander’s, Inc   2,329 
 102,697      Alexandria Real Estate Equities, Inc   12,372 
 52,420      Aliansce Shopping Centers S.A.   238 
 11,233,746      Allco Commercial Real Estate Investment Trust   11,621 
 27,643      Allied Properties Real Estate Investment Trust   830 
 25,186      Allreal Holding AG.   4,557 
 232,380      Alony Hetz Properties & Investments Ltd   2,347 
 457,227      Alstria Office REIT-AG.   6,183 
 22,650   *,e  Altisource Portfolio Solutions S.A.   494 
 103,558      Altisource Residential Corp   1,340 
 26,669      Altus Group Ltd   576 
 4,117,800      Amata Corp PCL (Foreign)   2,084 
 326,686      American Assets Trust,Inc   12,868 
 283,769      American Campus Communities, Inc   13,422 
 817,801      American Homes 4 Rent   18,458 
 893,307      American Tower Corp   118,202 
 326,270      Amot Investments Ltd   1,708 
 396,700      Ananda Development PCL (FOREIGN)   60 
 4,060      ANF Immobilier   97 
 3,803,760   *  AP Thailand PCL (Foreign)   906 
 845,024      Apartment Investment & Management Co (Class A)   36,311 
 503,379      Apple Hospitality REIT, Inc   9,418 
 79,000   e  Ardepro Co Ltd   107 
 1,544,092      Argosy Property Ltd   1,177 
 235,671   e  Armada Hoffler Properties, Inc   3,052 
 1,975,562      Arrowhead Properties Ltd (Class A)   1,321 
 151,140      Artis Real Estate Investment Trust   1,527 
 1,390,200   e  Ascendas Hospitality Trust   833 
 554,076      Ascendas REIT   1,050 
 838,991      Ascott Residence Trust   704 
 129,399      Ashford Hospitality Prime, Inc   1,332 
 156,227      Ashford Hospitality Trust, Inc   950 
 2,966,545      Assura Group Ltd   2,465 
 324,281   *  Attacq Ltd   421 
 36,031   *  AV Homes, Inc   722 
 329,573      AvalonBay Communities, Inc   63,334 
 444,301      Aventus Retail Property Fund Ltd   785 
 1,012,482      Aveo Group   2,165 
 2,272,000   *,e  AVIC International Holding HK Ltd   113 
 228,845      Axia Real Estate SOCIMI S.A.   3,910 
 888,666      Axis Real Estate Investment Trust   340 
 7,757,815      Ayala Land, Inc   6,112 
 42,998      Azrieli Group   2,389 
 6,567,800      Bangkokland PCL   354 
 241,741      Barwa Real Estate Co   2,132 
 1,645      Bayside Land Corp   733 
 17,148      Befimmo SCA Sicafi   1,020 
 2,436,000      Beijing Capital Land Ltd   1,157 
 3,072,000   *  Beijing Enterprises Medical & Health Group Ltd   191 
 482,000      Beijing North Star Co   204 
118

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

  

          VALUE 
SHARES      COMPANY  (000) 
 1,320,000   *,e  Beijing Properties Holdings Ltd  $63 
 1,074,175      Beni Stabili S.p.A.   775 
 11,180      Big Shopping Centers Ltd   794 
 250,111      Big Yellow Group plc   2,580 
 1,405     BLife Investment Corp   3,335 
 8,968      Blue Square Real Estate Ltd   410 
 118,959      Bluerock Residential Growth REIT, Inc   1,533 
 31,242      Boardwalk REIT   1,146 
 641,589      Boston Properties, Inc   78,928 
 646,262      BR Malls Participacoes S.A.   2,331 
 32,708      BR Properties S.A.   89 
 282,731      Brandywine Realty Trust   4,956 
 641,434      British Land Co plc   5,064 
 579,977      Brixmor Property Group, Inc   10,370 
 704,186      Bunnings Warehouse Property Trust   1,613 
 97,370      BUWOG AG.   2,798 
 29,662,014      C C Land Holdings Ltd   6,766 
 208,373      CA Immobilien Anlagen AG.   5,084 
 618,900      Cache Logistics Trust   411 
 650,009      Cambridge Industrial Trust   279 
 171,045      Camden Property Trust   14,626 
 265,273      Canadian Apartment Properties REIT   6,867 
 30,952      Canadian Real Estate Investment Trust   1,095 
 580,700      CapitaCommercial Trust   700 
 543,518   e  Capital & Counties Properties   2,074 
 3,732,191      CapitaLand Ltd   9,484 
 1,159,781      CapitaMall Trust   1,663 
 44,900      CapitaMalls Malaysia Trust   16 
 384,632      CapitaRetail China Trust   458 
 167,104      Care Capital Properties, Inc   4,462 
 295,994      CareTrust REIT, Inc   5,488 
 3,970,000   *,e  Carnival Group International Holdings Ltd   366 
 231,318      Castellum AB   3,398 
 104,163      CatchMark Timber Trust Inc   1,184 
 491,300      Cathay Real Estate Development Co Ltd   318 
 334,402   e  CBL & Associates Properties, Inc   2,819 
 872,369   *  CBRE Group, Inc   31,754 
 438,600   e  CDL Hospitality Trusts   527 
 15,000,000      Cebu Holdings, Inc   1,567 
 498,418   e  Cedar Realty Trust, Inc   2,417 
 37,190      Cedar Woods Properties Ltd   149 
 506,000      Central China Real Estate Ltd   115 
 1,434,458      Central Pattana PCL (Foreign)   2,928 
 390,733      Centuria Industrial REIT   742 
 3,834,636      Champion Real Estate Investment Trust   2,441 
 1,408,207      Charter Hall Group   5,949 
 117,712   e  Charter Hall Long Wale REIT   374 
 142,956      Chatham Lodging Trust   2,872 
 146,237      Chesapeake Lodging Trust   3,578 
 4,217,722      Cheuk Nang Holdings Ltd   2,827 
 3,281,812      Cheung Kong Property Holdings Ltd   25,681 
 4,292,500      China Aoyuan Property Group Ltd   1,293 
 1,596,000   e  China Electronics Optics Valley Union Holding Co Ltd   153 
 6,395,663   e  China Evergrande Group   11,474 
 971,000   *,e  China Logistics Property Holdings Co Ltd   306 
 734,000      China Merchants Land Ltd   150 
119

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 9,385,021   *  China New Town Development Co Ltd  $433 
 592,000   e  China Overseas Grand Oceans Group Ltd   316 
 11,729,981      China Overseas Land & Investment Ltd   34,329 
 880,000   e  China Overseas Property Holdings Ltd   171 
 9,763,369      China Resources Land Ltd   28,443 
 5,027,400   e  China SCE Property Holdings Ltd   2,285 
 1,822,000      China South City Holdings Ltd   338 
 1,325,315      China Vanke Co Ltd   3,749 
 335,500   e  Chinese Estates Holdings Ltd   468 
 32,682      Choice Properties REIT   349 
 71,088      Chong Hong Construction Co   160 
 8,710,758      CIFI Holdings Group Co Ltd   3,874 
 133,179      City Developments Ltd   1,037 
 198,081      City Office REIT, Inc   2,516 
 688,310   e  Citycon Oyj   1,806 
 448,971      Civitas Social Housing plc   640 
 29,475   e  Clipper Realty, Inc   364 
 49,156      Cofinimmo   6,044 
 82,630      Colliers International Group, Inc   4,671 
 1,206,889      Colony NorthStar, Inc   17,005 
 661,753      Colony Starwood Homes   22,705 
 170,000   e  Colour Life Services Group   100 
 435,021      Columbia Property Trust, Inc   9,736 
 565   *,e  Comforia Residential REIT, Inc   1,218 
 64,167      Cominar Real Estate Investment Trust   629 
 52,063      Community Healthcare Trust, Inc   1,332 
 211,100      Concentradora Fibra Danhos S.A. de C.V.   380 
 191,600      Concentradora Fibra Hotelera Mexicana S.A. de C.V.   145 
 411,900      Concentradora Hipotecaria SAPI de C.V.   515 
 7,682      Consolidated-Tomoka Land Co   437 
 373,342      CoreCivic, Inc   10,297 
 23,254   e  CorEnergy Infrastructure Trust, Inc   781 
 75,618      Coresite Realty   7,829 
 569,136      Corp Inmobiliaria Vesta SAB de C.V.   841 
 136,403      Corporate Office Properties Trust   4,778 
 5,711,628      Country Garden Holdings Co Ltd   6,625 
 120,851   e  Countrywide plc   263 
 827,694      Cousins Properties, Inc   7,275 
 1,506      Crescendo Investment Corp   1,171 
 1,714,091      Croesus Retail Trust   1,469 
 29,477      Crombie Real Estate Investment Trust   319 
 2,307,945      Cromwell Group   1,685 
 1,152,414      Crown Castle International Corp   115,449 
 642,000   *,e  Crown International Corp Ltd   110 
 17,768,943      CSI Properties Ltd   853 
 84,363      CT Real Estate Investment Trust   935 
 533,277      CubeSmart   12,820 
 461,849      CyrusOne, Inc   25,748 
 24,155   *  D Carnegie & Co AB   335 
 3,272   *  DA Office Investment Corp   16,508 
 176,100      Daibiru Corp   1,835 
 339,000      Daikyo, Inc   692 
 2,595,900      Daiman Development BHD   1,403 
 26,120      Daito Trust Construction Co Ltd   4,069 
 349,687      Daiwa House Industry Co Ltd   11,968 
 3,291,822      DAMAC Properties Dubai Co PJSC   2,824 
120

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 273,988      DCT Industrial Trust, Inc  $14,642 
 849,555      DDR Corp   7,705 
 1,691,112      Delta Property Fund Ltd   946 
 117,593      Derwent London plc   4,065 
 609,867      Deutsche Annington Immobilien SE   24,264 
 143,979   e  Deutsche Euroshop AG.   5,681 
 375,076      Deutsche Wohnen AG.   14,372 
 613,065   e  Dexus Property Group   4,463 
 1,174,929   *  Deyaar Development PJSC   162 
 448,565      DiamondRock Hospitality Co   4,912 
 105,213      DIC Asset AG.   1,155 
 323,298   e  Digital Realty Trust, Inc   36,517 
 215,155      Dios Fastigheter AB   1,190 
 1,000,000      DLF Ltd   2,950 
 329,374      Dongwon Development Co Ltd   1,445 
 764,130   *  DoubleDragon Properties Corp   723 
 261,260      Douglas Emmett, Inc   9,983 
 89,241      Dream Global REIT   751 
 16,965      Dream Industrial Real Estate Investment Trust   114 
 36,545      Dream Office Real Estate Investment Trust   551 
 45,780   *  Dream Unlimited Corp   260 
 376,395      Duke Realty Corp   10,520 
 186,390      DuPont Fabros Technology, Inc   11,400 
 73,527      Easterly Government Properties, Inc   1,540 
 560,662      Eastern & Oriental BHD   222 
 73,423      EastGroup Properties, Inc   6,153 
 774,200   *  Eco World Development Group BHD   301 
 203,945      Education Realty Trust, Inc   7,903 
 1,948,955      Emaar Malls Group PJSC   1,334 
 5,918,189      Emaar Properties PJSC   12,484 
 1,152,124   e  Emira Property Fund Ltd   1,221 
 2,018,304      Emlak Konut Gayrimenkul Yatiri   1,686 
 3,413,333      Emperor International Holdings   1,116 
 250,509      Empire State Realty Trust, Inc   5,203 
 366,975      Empiric Student Property plc   534 
 168,199      Entertainment Properties Trust   12,088 
 289,275   g  Entra ASA   3,603 
 178,625      Equinix, Inc   76,659 
 241,467   *  Equity Commonwealth   7,630 
 450,374      Equity Lifestyle Properties, Inc   38,885 
 1,095,558      Equity Residential   72,121 
 914,268   *  Eshraq Properties Co PJSC   213 
 207,461      Essex Property Trust, Inc   53,373 
 61,864      Eurobank Properties Real Estate Investment Co   647 
 42,716      Eurocommercial Properties NV   1,707 
 366,730      Extra Space Storage, Inc   28,605 
 830,161      Ezdan Holding Group QSC   2,855 
 180,646      Fabege AB   3,478 
 3,328,000   e  Fantasia Holdings Group Co Ltd   482 
 3,864,922      Far East Consortium   2,158 
 588,200      Far East Hospitality Trust   286 
 1,092,812      Farglory Land Development Co Ltd   1,401 
 96,630   e  Farmland Partners, Inc   864 
 111,217   *  Fastighets AB Balder   2,695 
 220,176      Federal Realty Investment Trust   27,828 
 580,094      FelCor Lodging Trust, Inc   4,182 
121

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 5,659,906      Fibra Uno Administracion S.A. de C.V.  $10,734 
 18,000,000      Filinvest Development Corp   2,818 
 62,493,000      Filinvest Land, Inc   2,068 
 96,274      First Capital Realty, Inc   1,467 
 484,433      First Industrial Realty Trust, Inc   13,864 
 117,171      First Potomac Realty Trust   1,302 
 358,646      First Real Estate Investment Trust   349 
 75,823      FirstService Corp   4,865 
 440,713      Folkestone Education Trust   945 
 62,146      Fonciere Des Regions   5,765 
 483,343      Forest City Realty Trust, Inc   11,682 
 135,563   *  Forestar Group, Inc   2,325 
 728,170      Fortress Income Fund Ltd   1,932 
 2,248,271      Fortress Income Fund Ltd (A Shares)   2,949 
 515,142      Four Corners Property Trust, Inc   12,935 
 189,645   e  Foxtons Group plc   234 
 207,767      Franklin Street Properties Corp   2,302 
 9,611,725      Franshion Properties China Ltd   3,961 
 375,800   e  Frasers Centrepoint Trust   584 
 712,300   e  Frasers Logistics & Industrial Trust   559 
 1,047   *  Frontier Real Estate Investment Corp   4,315 
 12,601   *  FRP Holdings, Inc   582 
 452   *  Fukuoka REIT Corp   695 
 7,407,500   e  Fullshare Holdings Ltd   2,957 
 1,090,000      Future Land Development Holdin   416 
 2,107,992      Gaming and Leisure Properties, Inc   79,408 
 333,314   e  Gateway Lifestyle   499 
 287,330      Gazit Globe Ltd   2,773 
 21,013      Gazit, Inc   392 
 364,246      GDI Property Group   287 
 15,529      Gecina S.A.   2,437 
 2,438,000      Gemdale Properties and Investment Corp Ltd   172 
 302,937      Geo Group, Inc   8,958 
 53,771      Getty Realty Corp   1,350 
 2,240,861      GGP, Inc   52,795 
 48,730      Gladstone Commercial Corp   1,062 
 2,044,491      Global Logistic Properties   4,247 
 31,741   e  Global Medical REIT, Inc   284 
 132,309   *  Global Net Lease, Inc   2,943 
 454      Global One Real Estate Investment Corp   1,557 
 377,692      Globe Trade Centre S.A.   989 
 2,264,895   *  Glorious Property Holdings Ltd   246 
 3,192     GLP J-Reit   3,436 
 35,452   *  Godrej Properties Ltd   285 
 33,980      Goldcrest Co Ltd   753 
 1,041,609   e  Goodman Property Trust   954 
 142,046   e  Government Properties Income Trust   2,601 
 934,261      GPT Group (ASE)   3,436 
 1,317,547      Grainger plc   4,513 
 361,661      Gramercy Property Trust   10,745 
 66,752   e  Grand City Properties S.A.   1,340 
 72,381      Granite REIT   2,863 
 267,096      Great Eagle Holdings Ltd   1,358 
 417,571      Great Portland Estates plc   3,251 
 2,492,803   e  Green REIT plc   4,052 
 3,729,000      Greenland Hong Kong Holdings Ltd   1,281 
122

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 421,500   e  Greentown China Holdings Ltd  $464 
 1,511      Griffin Land & Nurseries, Inc (Class A)   47 
 141,245   e  Growthpoint Properties Australia Ltd   341 
 3,622,400      Growthpoint Properties Ltd   6,776 
 460,000   *  Grupo GICSA S.A. de C.V.   334 
 394,000   *  Guangdong Land Holdings Ltd   83 
 2,831,085      Guangzhou R&F Properties Co Ltd   4,402 
 611,000   e  Guorui Properties Ltd   184 
 107,756      H&R Real Estate Investment Trust   1,830 
 54,539      Hamborner AG.   560 
 382,324      Hammerson plc   2,861 
 122,000      Hang Lung Group Ltd   505 
 3,925,727      Hang Lung Properties Ltd   9,811 
 1,096   e  Hankyu Reit, Inc   1,353 
 1,722,969   e  Hansteen Holdings plc   2,794 
 1,442,594      HCP, Inc   46,105 
 1,050   *  Health Care & Medical Investment Corp   945 
 295,878      Healthcare Realty Trust, Inc   10,104 
 678,761      Healthcare Trust of America, Inc   21,116 
 23,000      Heiwa Real Estate Co Ltd   372 
 219,889      Helical Bar plc   861 
 183,652      Heliopolis Housing   294 
 362,105      Hemfosa Fastigheter AB   3,912 
 2,392,202      Henderson Land Development Co Ltd   13,339 
 77,166      Hersha Hospitality Trust   1,428 
 247,591      HFF, Inc (Class A)   8,609 
 27,085,130   e  Hibernia REIT plc   42,536 
 801,042      Highwealth Construction Corp   1,326 
 278,411      Highwoods Properties, Inc   14,118 
 137,861      Hispania Activos Inmobiliarios SAU   2,279 
 154,880   e  HKC Holdings Ltd   103 
 1,454,694      Hongkong Land Holdings Ltd   10,705 
 910,000      Hopson Development Holdings Ltd   855 
 432   *  Hoshino Resorts REIT, Inc   2,217 
 154,387      Hospitality Properties Trust   4,500 
 2,176,078      Host Marriott Corp   39,757 
 169,629   *  Housing Development & Infrastruture Ltd   223 
 81,620   *  Howard Hughes Corp   10,026 
 628,235      Huaku Development Co Ltd   1,450 
 91,000      Huang Hsiang Construction Co   126 
 541,121      Hudson Pacific Properties   18,501 
 242,886      Hufvudstaden AB (Series A)   4,030 
 718     Hulic Reit, Inc   1,120 
 202,362      Hung Poo Real Estate Development Corp   156 
 353,000      Hung Sheng Construction Co Ltd   226 
 730,000   e  Hydoo International Holding Ltd   85 
 233,588      Hyprop Investments Ltd   2,085 
 370,752      Hysan Development Co Ltd   1,769 
 13,151      Icade   1,103 
 341,800   e  Ichigo Holdings Co Ltd   1,022 
 3,262   *,e  Ichigo Real Estate Investment Corp   2,029 
 119,100   *,e  IDU Co   145 
 1,384,300      IGB Real Estate Investment Trust   568 
 53,700      Iguatemi Empresa de Shopping Centers S.A.   534 
 1,374,282      Immobiliare Grande Distribuzione   1,210 
 658,721   *,m  Immofinanz ANSPR NACHB AG.   0 
123

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 573,004   e  Immofinanz Immobilien Anlagen AG.  $1,311 
 135,370   e  Independence Realty Trust, Inc   1,336 
 142,974   *  Indiabulls Real Estate Ltd   442 
 325   e  Industrial & Infrastructure Fund Investment Corp   1,474 
 413,577   *  ING Office Fund   1,394 
 2,771,641      Ingenia Communities Group   5,535 
 196,503      Inmobiliaria Colonial S.A.   1,714 
 26,840      InterRent Real Estate Investment Trust   167 
 3,080      Intershop Holding AG.   1,545 
 9,737      Intervest Offices   249 
 341,145   e  Intu Properties plc   1,196 
 4,665      Invesco Office J-Reit, Inc   4,355 
 2,556      Investis Holding S.A.   157 
 73,500   e  Investors Cloud Co Ltd   3,588 
 242,879      Investors Real Estate Trust   1,508 
 6,103   *  Invincible Investment Corp   2,622 
 244,098      Invitation Homes, Inc   5,280 
 3,223,866      IOI Properties Group Sdn BHD   1,652 
 656,289   e  Irish Residential Properties REIT plc   1,019 
 506,091      Iron Mountain, Inc   17,389 
 1,430,445      Is Gayrimenkul Yatirim Ortakligi AS   594 
 52,000   e  iShares Dow Jones US Real Estate Index Fund   4,148 
 135,618   *  iStar Financial, Inc   1,633 
 785   *  Japan Excellent, Inc   873 
 8,351      Japan Hotel REIT Investment Corp   5,914 
 659   *  Japan Logistics Fund Inc   1,368 
 241      Japan Prime Realty Investment Corp   835 
 385     Japan Real Estate Investment Corp   1,913 
 1,640   e  Japan Rental Housing Investments, Inc   1,210 
 611     Japan Retail Fund Investment Corp   1,128 
 1,620   *,e  Japan Senior Living Investment Corp   2,106 
 18,221   e  Jernigan Capital, Inc   401 
 110,159   *  Jerusalem Economy Ltd   280 
 1,596,750   *,m  Jiangsu Future Land Co Ltd   4,694 
 53,890      Jones Lang LaSalle, Inc   6,736 
 27,900      Jowa Holdings Co Ltd   775 
 13,000,000   e  Joy City Property Ltd   2,030 
 2,754,995      K Wah International Holdings Ltd   1,672 
 2,884,000   *,e  Kaisa Group Holdings Ltd   912 
 695      Kenedix Realty Investment Corp   3,706 
 837      Kenedix Residential Investment Corp   2,084 
 1,996     Kenedix Retail REIT Corp   4,214 
 628,200   e  Kenedix, Inc   2,972 
 381,398      Kennedy-Wilson Holdings, Inc   7,266 
 2,000,217   e  Keppel DC REIT   1,875 
 2,240,186      Kerry Properties Ltd   7,606 
 50,786      Killam Apartment Real Estate Investment Trust   499 
 282,068      Kilroy Realty Corp   21,197 
 375,279      Kimco Realty Corp   6,886 
 250,000      Kindom Construction Co   167 
 362,702      Kite Realty Group Trust   6,866 
 1,029,526      Kiwi Property Group Ltd   1,063 
 79,600      KLCC Property Holdings BHD   148 
 165,307      Klepierre   6,775 
 756,002   e  Klovern AB (B Shares)   828 
 29,176      Korea Asset In Trust Co Ltd   235 
124

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 104,387      Korea Real Estate Investment Trust Co  $299 
 2,722,130      Kowloon Development Co Ltd   2,960 
 1,772,144   e  K-REIT Asia   1,474 
 363,249      KSL Holdings BHD   104 
 146,033      Kungsleden AB   895 
 300,185      Kuoyang Construction Co Ltd   137 
 1,819,624      KWG Property Holding Ltd   1,219 
 80,388,935      Lai Fung Holdings Ltd   2,248 
 23,600,315      Lai Sun Development Co Ltd   862 
 58,400      Lamar Advertising Co   4,296 
 28,741   *  Lamda Development S.A.   218 
 378,423      Land Securities Group plc   4,996 
 3,830,000      Langham Hospitality Investments Ltd   1,619 
 75,611      Lar Espana Real Estate Socimi S.A.   696 
 225,489      LaSalle Hotel Properties   6,720 
 3,699   *,e  LaSalle Logiport REIT   3,727 
 63,947      LEG Immobilien AG.   6,019 
 503,585      Lend Lease Corp Ltd   6,445 
 526,611      Leopalace21 Corp   3,276 
 444,754      Lexington Realty Trust   4,408 
 227,387      Liberty Property Trust   9,257 
 100,804      Life Storage, Inc   7,470 
 935,497      Link REIT   7,116 
 3,774,100      Lippo-Mapletree Indonesia Retail Trust   1,220 
 320,000      Liu Chong Hing Investment   493 
 9,514,000   e  Logan Property Holdings Co Ltd   6,273 
 461,457      London & Stamford Property plc   1,006 
 7,595,678      Longfor Properties Co Ltd   16,312 
 4,558,300      LPN Development PCL (Foreign)   1,595 
 340,000   *  LPS Brasil Consultoria de Imoveis S.A.   452 
 173,220      LSR Group (GDR)   494 
 112,128      LTC Properties, Inc   5,762 
 154,267      Macerich Co   8,957 
 227,114      Mack-Cali Realty Corp   6,164 
 235,195      Macquarie CountryWide Trust   735 
 1,186,096      Macquarie Goodman Group   7,169 
 1,009,390      Macquarie MEAG Prime REIT   572 
 8,433   e  Magnolia Bostad AB   91 
 1,644,176      Mah Sing Group BHD   620 
 433,400   e  Manulife US Real Estate Investment Trust   390 
 35,779   *,e,m  Mapeley Ltd   0^
 1,243,682      Mapletree Commercial Trust   1,441 
 2,481,700      Mapletree Greater China Commercial Trust   1,946 
 2,820,919      Mapletree Industrial Trust   3,811 
 3,762,073      Mapletree Logistics Trust   3,265 
 71,824   *  Marcus & Millichap, Inc   1,893 
 751,674      Matrix Concepts Holdings BHD   480 
 24,244   *  Maui Land & Pineapple Co, Inc   492 
 54,343   *  Mazaya Qatar Real Estate Development Q.S.C   159 
 103,788      MedEquities Realty Trust, Inc   1,310 
 889,852      Medical Properties Trust, Inc   11,452 
 1,075,749      Medinet Nasr Housing   1,431 
 183,689,335      Megaworld Corp   15,639 
 40,253      Melisron Ltd   2,115 
 36,737      Mercialys S.A   719 
 476,335      Merlin Properties Socimi S.A.   6,026 
125

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 2,312,000      Mexico Real Estate Management S.A. de C.V.  $2,735 
 1,525,035   e  MGM Growth Properties LLC   44,516 
 896     MID Reit, Inc   2,682 
 406,604      Mid-America Apartment Communities, Inc   42,848 
 970,929   *,e  Midland Holdings Ltd   261 
 1,002,000   e  Minmetals Land Ltd   117 
 2,129,127      Mirvac Group   3,482 
 910,881      Mitsubishi Estate Co Ltd   17,027 
 1,560,816      Mitsui Fudosan Co Ltd   37,395 
 514   *  Mitsui Fudosan Logistics Park, Inc   1,535 
 248,020      MKH BHD   136 
 11,850      Mobimo Holding AG.   3,324 
 398,554      Monmouth Real Estate Investment Corp (Class A)   5,998 
 1,346,041      Monogram Residential Trust, Inc   13,070 
 17,615      Morguard Real Estate Investment Trust   197 
 1,174      Mori Hills REIT Investment Corp   1,443 
 228   *  Mori Trust Hotel Reit, Inc   309 
 870     Mori Trust Sogo Reit, Inc   1,405 
 84,343      Multiplan Empreendimentos Imobiliarios S.A.   1,663 
 101,783      National Health Investors, Inc   8,061 
 149,814      National Retail Properties, Inc   5,858 
 555,406      National Storage Affiliates Trust   12,835 
 812,545   e  National Storage REIT   943 
 934,000      Neo-China Land Group Holdings Ltd   210 
 237,283      New Europe Property Investments plc   3,001 
 166,464      New Senior Investment Group, Inc   1,673 
 10,871,600      New World Development Co Ltd   13,781 
 529,510   e  NewRiver REIT plc   2,413 
 298,513      Nexity   17,325 
 94,433      NexPoint Residential Trust, Inc   2,350 
 291      Nippon Accommodations Fund, Inc   1,216 
 398   e  Nippon Building Fund, Inc   2,031 
 900   *,e  Nippon Healthcare Investment Corp   1,368 
 1,100     Nippon ProLogis REIT, Inc   2,341 
 4,108   *,e  NIPPON REIT Investment Corp   10,875 
 407,789      Nomura Real Estate Holdings, Inc   8,025 
 3,575      Nomura Real Estate Master Fund, Inc   4,885 
 108,551      NorthStar Realty Europe Corp   1,376 
 17,201      Northview Apartment Real Estate Investment Trust   279 
 311,805      NorthWest Healthcare Properties Real Estate Investment Trust   2,568 
 117,135      Norwegian Property ASA   145 
 13,001      NSI NV   470 
 607,500      NTT Urban Development Corp   5,873 
 87,835      Oberoi Realty Ltd   486 
 304,195   e  Omega Healthcare Investors, Inc   10,045 
 51,956      One Liberty Properties, Inc   1,217 
 142,600      Open House Co Ltd   4,400 
 2,508     Orix JREIT, Inc   3,701 
 737,900   e  OUE Hospitality Trust   399 
 635,093      Outfront Media, Inc   14,683 
 886,941      Palm Hills Developments SAE   150 
 456,602      Paramount Group, Inc   7,306 
 385,501      Park Hotels & Resorts, Inc   10,393 
 774,400      Parkway Life Real Estate Investment Trust   1,507 
 83,375      Parkway, Inc   1,908 
126

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,147,060      Parque Arauco S.A.  $2,887 
 30,175   *  Patrizia Immobilien AG.   571 
 641,800      Pavilion Real Estate Investment Trust   263 
 136,955   e  Pebblebrook Hotel Trust   4,415 
 213,960      Pennsylvania REIT   2,422 
 1,171,017      Phoenix Mills Ltd   8,160 
 863,432      Physicians Realty Trust   17,390 
 197,076      Piedmont Office Realty Trust, Inc   4,154 
 1,194,600      PLA Administradora Industrial S de RL de C.V.   2,199 
 117,000      Platinum Group PCL   24 
 1,366,817   *  Poly Hong Kong Investment Ltd   601 
 6,766,160      Polytec Asset Holdings Ltd   529 
 80,987      Potlatch Corp   3,701 
 7,878,000   e  Powerlong Real Estate Holdings Ltd   3,389 
 14,641,962      PP Properti Tbk PT   248 
 1,478,955      Precinct Properties New Zealand Ltd   1,333 
 321,932      Preferred Apartment Communities, Inc   5,070 
 945     Premier Investment Co   923 
 73,583   *  Prestige Estates Projects Ltd   288 
 404,668   e  Primary Health Properties plc   600 
 830,826      Prince Housing & Development Corp   333 
 1,405,600      ProLogis Property Mexico S.A. de C.V.   2,679 
 1,764,380      Prologis, Inc   103,463 
 917,000      Prosperity REIT   390 
 89,196      PS Business Parks, Inc   11,809 
 32,525      PSP Swiss Property AG.   3,043 
 4,997,900      PT Alam Sutera Realty Tbk   119 
 7,408,347      PT Bumi Serpong Damai   1,016 
 21,643,729      PT Ciputra Development Tbk   1,902 
 43,415,300   *  PT Hanson International Tbk   427 
 3,558,000      PT Intiland Development Tbk   112 
 109,817,683      PT Kawasan Industri Jababeka Tbk   2,686 
 111,272,648      PT Lippo Karawaci Tbk   5,509 
 4,442,100   *  PT Modernland Realty Tbk   90 
 23,809,000      PT Pakuwon Jati Tbk   1,098 
 9,215,500      PT Summarecon Agung Tbk   890 
 313,870      Public Storage, Inc   65,451 
 4,347,501   *  Puravankara Projects Ltd   4,221 
 999,367      Pure Industrial Real Estate Trust   5,302 
 430,931   *,e  Purplebricks Group plc   2,436 
 319,517      QTS Realty Trust, Inc   16,720 
 210,008   *  Quality Care Properties, Inc   3,845 
 16,419,222      Quality House PCL   1,246 
 501,433   *  Radium Life Tech Co Ltd   235 
 221,579      RAIT Investment Trust   485 
 957,318      RAK Properties PJSC   167 
 396,628      Ramco-Gershenson Properties   5,117 
 337,439      Rayonier, Inc   9,708 
 35,219      Re/Max Holdings, Inc   1,974 
 189,505   *  Realia Business S.A.   233 
 369,806   e  Realogy Holdings Corp   12,000 
 252,408      Realty Income Corp   13,928 
 1,171,286      Rebosis Property Fund Ltd   1,025 
 939,353   e  Redefine International plc   486 
 4,639,835      Redefine Properties Ltd   3,731 
 26,943,000      Regal Real Estate Investment Trust   7,936 
127

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 612,020      Regency Centers Corp  $38,337 
 475,981      Reit  Ltd   1,780 
 72,100   e  Relo Holdings, Inc   1,404 
 9,795,250   *,e  Renhe Commercial Holdings Co Ltd   219 
 265,765      Resilient REIT Ltd   2,475 
 509,999      Retail Opportunities Investment Corp   9,787 
 643,513      Retail Properties of America, Inc   7,857 
 601,656      Rexford Industrial Realty, Inc   16,509 
 238,064      RioCan Real Estate Investment Trust   4,419 
 242,866      RLJ Lodging Trust   4,826 
 81,919      RMR Group, Inc   3,985 
 1,635,000      Road King Infrastructure   2,018 
 1,190,500      Robinsons Land Corp   571 
 304,000   *,e  Ronshine China Holdings Ltd   294 
 744,242   *  Ruentex Development Co Ltd   839 
 87,566      Ryman Hospitality Properties   5,605 
 6,599,615      S.A. Corporate Real Estate Fund Nominees Pty Ltd   2,775 
 2,363,873      Sabana Shari’ah Compliant Industrial REIT   798 
 127,530   e  Sabra Healthcare REIT, Inc   3,073 
 640,587      Safestore Holdings plc   3,508 
 900   *  Samty Residential Investment Corp   690 
 4,964,277      Sansiri PCL   330 
 38,784      Saul Centers, Inc   2,249 
 360,434      Savills plc   4,124 
 231,363   *  SBA Communications Corp   31,211 
 6,102,600      SC Asset Corp PCL   596 
 5,712,896      Scentre Group   17,762 
 376,254      Schroder Real Estate Investment Trust Ltd   314 
 715,283      Segro plc   4,559 
 612   *  Sekisui House Reit, Inc   730 
 701      Sekisui House SI Residential Investment Corp   738 
 172,277      Select Income REIT   4,140 
 85,945      Selvaag Bolig ASA   331 
 257,396      Senior Housing Properties Trust   5,261 
 49,608   e  Seritage Growth Properties   2,081 
 372,337      Shaftesbury plc   4,719 
 311,800      Shanghai Erfangji Co Ltd   166 
 1,129,187      Shanghai Lujiazui Finance & Trade Zone Development Co Ltd   1,812 
 3,888,000   *  Shanghai Real Estate Ltd   90 
 54,000   *  Shenzhen International Enterprise Co Ltd   31 
 6,540,019      Shenzhen Investment Ltd   2,889 
 132,300      Shenzhen SEG Co Ltd   67 
 5,240,261      Shimao Property Holdings Ltd   8,963 
 258,913   *  Shining Building Business Co Ltd   93 
 85,034      Shoei Co Ltd   871 
 2,169,550      Shopping Centres Australasia Property Group   3,649 
 18,802,500      Shui On Land Ltd   4,552 
 1,100   *  SIA Reit, Inc   2,048 
 781,259      Simon Property Group, Inc   126,376 
 1,518,500   *  Singha Estate PCL   205 
 1,742,351      Sino Land Co   2,855 
 1,548,000   *,e  Sinolink Worldwide Holdings Ltd   171 
 21,635,144      Sino-Ocean Land Holdings Ltd   10,582 
 174,891      Sinyi Realty Co   185 
 1,110,980   *  Six of October Development & Investment   875 
128

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 3,095      SK D&D Co Ltd  $94 
 465,818      SL Green Realty Corp   49,284 
 8,305,090      SM Prime Holdings   5,426 
 58,679      Smart Real Estate Investment Trust   1,453 
 878,424      Sobha Developers Ltd   5,006 
 2,609,635      Soho China Ltd   1,287 
 521,000      Soilbuild Business Space REIT   272 
 55,400      Sonae Sierra Brasil S.A.   322 
 119,956      Sparkassen Immobilien AG.   1,742 
 1,360,143      SPH REIT   988 
 2,296,838      Spirit Realty Capital, Inc   17,020 
 147,011      Sponda Oyj   851 
 581,000      Spring Real Estate Investment Trust   253 
 429,398      ST Modwen Properties plc   2,007 
 99,877   *  St. Joe Co   1,873 
 269,657   *  STAG Industrial, Inc   7,443 
 276,243      Standard Life Investment Property Income Trust Ltd   321 
 5,901   e  Star Asia Investment Corp   5,641 
 2,200   *,e  Starts Proceed Investment Corp   2,875 
 3,753,546   e  Stockland Trust Group   12,623 
 488,022      STORE Capital Corp   10,956 
 12,198      Stratus Properties, Inc   359 
 283,377      Sumitomo Realty & Development Co Ltd   8,776 
 349,107      Summit Hotel Properties, Inc   6,511 
 412,601      Sun Communities, Inc   36,181 
 20,000      Sun Frontier Fudousan Co Ltd   201 
 2,871,948      Sun Hung Kai Properties Ltd   42,189 
 2,038,522   e  Sunac China Holdings Ltd   4,259 
 1,580,000   *  Suncity Group Holdings Ltd   154 
 1,555,000      Sunlight Real Estate Investment Trust   1,019 
 877,374      Sunstone Hotel Investors, Inc   14,143 
 1,881,898   e  Suntec Real Estate Investment Trust   2,554 
 1,517,422      Sunway BHD   1,386 
 1,065,600      Sunway Real Estate Investment   442 
 370,000      Supalai PCL   283 
 651,193      Swire Pacific Ltd (Class A)   6,357 
 5,801,901      Swire Properties Ltd   19,125 
 65,790      Swiss Prime Site AG.   5,982 
 409,932      TAG Tegernsee Immobilien und Beteiligungs AG.   6,457 
 549,814      Taiwan Land Development Corp   202 
 262,200   e  Takara Leben Co Ltd   1,178 
 1,477   *  Takara Leben Infrastructure Fu   1,219 
 641,363      Talaat Moustafa Group   279 
 227,788      Tanger Factory Outlet Centers, Inc   5,918 
 237,975      Taubman Centers, Inc   14,171 
 120,158      Technopolis plc   507 
 29,174   *  Tejon Ranch Co   602 
 243,691      Terreno Realty Corp   8,203 
 218,000      Tian Shan Development Holding Ltd   85 
 80      Ticon Industrial Connection PCL (Foreign)    0^
 127,438      Tier REIT, Inc   2,355 
 156,972      TLG Immobilien AG.   3,213 
 43,500      TOC Co Ltd   413 
 366,200      Tokyo Tatemono Co Ltd   4,814 
 322,267      Tokyu Fudosan Holdings Corp   1,911 
 2,482      Tokyu REIT, Inc   3,014 
129

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,568,400      Tosei Corp  $11,155 
 2,400   *,e  Tosei Reit Investment Corp   2,288 
 2,843   *,e  Transcontinental Realty Investors, Inc   76 
 214,914   e  Tricon Capital Group, Inc   1,926 
 41,787   *,e  Trinity Place Holdings, Inc   297 
 2,438,555      Tritax Big Box REIT plc   4,643 
 476,119      Tropicana Corp BHD   108 
 207,531,700   *  U City PCL   183 
 294,430      UDR, Inc   11,474 
 542,000      UEM Land Holdings BHD   152 
 55,050      UMH Properties, Inc   939 
 101,580      Unibail-Rodamco   25,596 
 695,623      Unite Group plc   5,880 
 48,713,965   *  Unitech Ltd   4,475 
 322,328      United Development Co PSC   1,506 
 785     United Urban Investment Corp   1,120 
 427,042      Uniti Group, Inc   10,736 
 19,800      Univentures PCL   5 
 25,054      Universal Health Realty Income Trust   1,993 
 929,448      UOA Development BHD   552 
 144,708      UOL Group Ltd   803 
 262,060      Urban Edge Properties   6,219 
 91,831      Urstadt Biddle Properties, Inc (Class A)   1,818 
 56,604      Vastned Retail NV   2,370 
 800,079      Ventas, Inc   55,589 
 699,712      VEREIT, Inc   5,696 
 5,166,669   e  Vicinity Centres   10,195 
 130,062      Victoria Park AB   434 
 11,992,700      Vista Land & Lifescapes, Inc   1,381 
 296,791      Viva Energy REIT   518 
 390,471      Vornado Realty Trust   36,665 
 1,877,954      Vukile Property Fund Ltd   2,627 
 145,706   e  Wallenstam AB   1,405 
 31,837      Warehouses De Pauw SCA   3,346 
 957,449      Washington Prime Group, Inc   8,014 
 152,421      Washington REIT   4,862 
 750,215      Watkin Jones plc   1,937 
 82,751   *,e  WCM Beteiligungs & Grundbesitz-AG.   300 
 116,245      Weingarten Realty Investors   3,499 
 815,445      Welltower, Inc   61,036 
 30,858      Wereldhave NV   1,512 
 1,929,030      Westfield Corp   11,898 
 1,890,384      Weyerhaeuser Co   63,328 
 3,687,635      WHA Corp PCL   343 
 2,575,332      Wharf Holdings Ltd   21,310 
 1,188,591   e  Wheelock & Co Ltd   8,965 
 72,888   e  Whitestone REIT   893 
 225,751      Wihlborgs Fastigheter AB   4,773 
 266,840      Wing Tai Holdings Ltd   386 
 256,196      Workspace Group plc   2,971 
 126,077      WP Carey, Inc   8,322 
 14,721      WPT Industrial Real Estate Investment Trust   192 
 321,472      Xenia Hotels & Resorts, Inc   6,227 
 14,700   e  Xinyuan Real Estate Co Ltd (ADR)   76 
 3,389,718      Yanlord Land Group Ltd   4,321 
 819,366   e  Yoma Strategic Holdings Ltd   348 
130

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 650,100      YTL Hospitality REIT  $179 
 859,000      Yuexiu Real Estate Investment Trust   533 
 54,462,912      Yuexiul Property Co Ltd   9,274 
 5,257,120      Yuzhou Properties Co   3,108 
 2,826,800   *  Zhong An Real Estate Ltd   601 
        TOTAL REAL ESTATE   4,394,183 
                
RETAILING - 4.0%
 112,081   *  1-800-FLOWERS.COM, Inc (Class A)   1,093 
 125,409      Aaron’s, Inc   4,878 
 29,939      ABC-Mart, Inc   1,764 
 135,212      Abercrombie & Fitch Co (Class A)   1,682 
 56,800      Adastria Holdings Co Ltd   1,583 
 116,804      Advance Auto Parts, Inc   13,618 
 51,500   e  Alpen Co Ltd   919 
 1,378,135   *  Amazon.com, Inc   1,334,035 
 402,079      American Eagle Outfitters, Inc   4,845 
 15,042   *,e  America’s Car-Mart, Inc   585 
 163,598   *,e  AO World plc   247 
 24,300      AOKI Holdings, Inc   309 
 29,541      Aoyama Trading Co Ltd   1,054 
 83,000      Arc Land Sakamoto Co Ltd   1,117 
 9,700      Asahi Co Ltd   113 
 37,598   *  Asbury Automotive Group, Inc   2,126 
 13,600   e  ASKUL Corp   419 
 179,875   *  ASOS plc   13,464 
 9,769   *,e  At Home Group, Inc   228 
 48,788      Autobacs Seven Co Ltd   793 
 15,178      AutoCanada, Inc   223 
 158,069   e  Automotive Holdings Group Ltd   407 
 168,353   *,e  Autonation, Inc   7,098 
 61,208   *  AutoZone, Inc   34,917 
 5,005,149      B&M European Value Retail S.A.   22,097 
 124,607   *  B2W Companhia Global Do Varejo   440 
 330,672   *  Barnes & Noble Education, Inc   3,515 
 418,573      Barnes & Noble, Inc   3,181 
 1,428,000      Beauty Community PCL (Foreign)   454 
 389,816      Bed Bath & Beyond, Inc   11,850 
 32,900      Belluna Co Ltd   393 
 1,253,360      Berjaya Auto BHD   587 
 652,932      Best Buy Co, Inc   37,433 
 66,200      BIC CAMERA, Inc   703 
 40,582   e  Big 5 Sporting Goods Corp   530 
 1,314,800      Big Camera Corp PCL   178 
 88,885   e  Big Lots, Inc   4,293 
 309,988      Bilia AB   3,063 
 1,385,080   *,e  boohoo.com plc   4,181 
 25,982   *  Boot Barn Holdings, Inc   184 
 537,000   *,e,m  Boshiwa International Holding   1 
 59,487   e  Buckle, Inc   1,059 
 26,922   *  Build-A-Bear Workshop, Inc   281 
 299,564   *  Burlington Stores, Inc   27,557 
 191,511      Burson Group Ltd   808 
 41,868   e  Byggmax Group AB   305 
 135,868   *  Cabela’s, Inc   8,073 
 227,158      Caleres, Inc   6,310 
131

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 27,286      Camping World Holdings, Inc  $842 
 65,770      Canadian Tire Corp Ltd   7,484 
 152,400      Canon Marketing Japan, Inc   3,474 
 598,870      Card Factory plc   2,318 
 907,150   *  Carmax, Inc   57,205 
 29,757   *,e  Carvana Co   609 
 13,659   e  Cashbuild Ltd   365 
 113,317      Cato Corp (Class A)   1,993 
 437,462      Chico’s FAS, Inc   4,121 
 40,150   e  Children’s Place Retail Stores, Inc   4,099 
 307,000   e  China Animation Characters Co Ltd   126 
 2,352,000   *,e  China Beidahuang Industry Group Holdings Ltd   117 
 506,000   e  China Harmony New Energy Auto Holding Ltd   242 
 2,200,000   e  China Yongda Automobiles Services Holdings Ltd   2,240 
 8,644,500      China ZhengTong Auto Services Holdings Ltd   6,916 
 11,300      Chiyoda Co Ltd   296 
 17,700      Chori Co Ltd   331 
 206,000      Chow Sang Sang Holding   481 
 104,800      Cia Hering   625 
 128,592      Citi Trends, Inc   2,729 
 2,256      CJ O Shopping Co Ltd   378 
 26,624      Clas Ohlson AB (B Shares)   512 
 388,000   *,e,g  Cogobuy Group   204 
 217,800      Com7 PCL   74 
 36,707   *,e  Conn’s, Inc   701 
 62,794   *,e  Container Store Group, Inc   372 
 90,458      Core-Mark Holding Co, Inc   2,991 
 988,332   *  Ctrip.com International Ltd (ADR)   53,232 
 612,000      Dah Chong Hong Holdings Ltd   281 
 363,500      DCM Japan Holdings Co Ltd   3,189 
 846,392      Debenhams plc   477 
 95,567      Delek Automotive Systems Ltd   778 
 5,007,065   a  Dick’s Sporting Goods, Inc   199,431 
 492,286      Dickson Concepts International Ltd   195 
 37,012      Dieteren S.A.   1,730 
 43,874   e  Dillard’s, Inc (Class A)   2,531 
 594,696      Dollar General Corp   42,872 
 564,445   *  Dollar Tree, Inc   39,466 
 311,651      Dollarama, Inc   29,778 
 84,100      Don Quijote Co Ltd   3,195 
 13,500      Doshisha Co Ltd   257 
 131,972      DSW, Inc (Class A)   2,336 
 26,663   *  Dufry Group   4,376 
 18,879   *,e  Duluth Holdings, Inc   344 
 72,778      Dunelm Group plc   570 
 102,451   g  Dustin Group AB   851 
 148,583   e  EDION Corp   1,350 
 200,636   e  El Puerto de Liverpool SAB de C.V.   1,583 
 5,200,000   *  Empresas La Polar S.A.   458 
 2,026,700   *  Esprit Holdings Ltd   1,080 
 349,982   *,e  Etsy, Inc   5,250 
 112,503   g  Europris ASA   485 
 480,350      Expedia, Inc   71,548 
 440,169   *  Express Parent LLC   2,971 
 476,000      Far Eastern Department Stores Co Ltd   246 
 55,475      Fast Retailing Co Ltd   18,552 
132

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 29,277   *  FF Group  $715 
 117,834      Finish Line, Inc (Class A)   1,670 
 129,753   *  Five Below, Inc   6,406 
 318,947   *,e  Floor & Decor Holdings, Inc   12,522 
 292,606      Foot Locker, Inc   14,420 
 206,439      Foschini Ltd   2,166 
 230,490   *  Francesca’s Holdings Corp   2,522 
 186,234   e  Fred’s, Inc (Class A)   1,719 
 46,766   *  FTD Cos, Inc   935 
 12,000      Fuji Co Ltd   307 
 216,718   *  Future Enterprises Ltd   1,238 
 29,870   *  Future Lifestyle Fashions Ltd   148 
 17,795   *  Gaia, Inc   199 
 472,073      GameStop Corp (Class A)   10,201 
 711,801      Gap, Inc   15,653 
 82,295   *  Genesco, Inc   2,790 
 314,169      Genuine Parts Co   29,142 
 36,800      Geo Holdings Corp   382 
 2,606,000      Giordano International Ltd   1,485 
 135,553   e  GNC Holdings, Inc   1,143 
 224,799   e  Golden Eagle Retail Group Ltd   311 
 13,369,844   e  GOME Electrical Appliances Holdings Ltd   1,644 
 60,535   e  Greencross Ltd   281 
 43,994      Group 1 Automotive, Inc   2,786 
 11,413   *  Groupe Fnac   924 
 3,167,990   *,e  Groupon, Inc   12,165 
 10,384      GS Home Shopping, Inc   2,100 
 118,872      Guess?, Inc   1,519 
 42,300   e  Gulliver International Co Ltd   292 
 33      GwangjuShinsegae Co Ltd   7 
 505,466      Halfords Group plc   2,252 
 299,425      Hankyu Department Stores, Inc   5,463 
 1,184,994   e  Harvey Norman Holdings Ltd   3,480 
 36,513      Haverty Furniture Cos, Inc   916 
 5,855,037   *  Hengdeli Holdings Ltd   525 
 564,055   e  Hennes & Mauritz AB (B Shares)   14,063 
 44,478   *  Hibbett Sports, Inc   923 
 17,400      Hikari Tsushin, Inc   1,833 
 4,709,319   n  Home Depot, Inc   722,410 
 424,400      Home Product Center PCL   120 
 16,535,494      Home Product Center PCL (Foreign)   4,669 
 5,862      Hornbach Baumarkt AG.   212 
 82,786      Hostelworld Group PLC   374 
 247,518      Hotai Motor Co Ltd   3,097 
 36,237      Hotel Shilla Co Ltd   1,808 
 187,693      HSN, Inc   5,987 
 48,846   e  Hudson’s Bay Co   436 
 14,655      Hyundai Department Store Co Ltd   1,416 
 4,400      Hyundai Home Shopping Network Corp   504 
 142,311      Imperial Holdings Ltd   1,747 
 914,111      Inchcape plc   8,986 
 2,170,219      Industria De Diseno Textil S.A.   83,347 
 10,584   *  Infibeam Incorporation Ltd   182 
 107,435      Interpark Corp   568 
 8,748      Interpark INT Corp   78 
 239,728      Isetan Mitsukoshi Holdings Ltd   2,412 
133

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 148,000      IT Ltd  $73 
 26,300      Izumi Co Ltd   1,495 
 457,419      J Front Retailing Co Ltd   7,049 
 68,898   *,e  J. Jill, Inc   847 
 117,460      Jardine Cycle & Carriage Ltd   3,782 
 314,140   e  JB Hi-Fi Ltd   5,642 
 3,238,191   *,e  JC Penney Co, Inc   15,058 
 1,181,682      JD Sports Fashion plc   5,383 
 1,166,296   *  JD.com, Inc (ADR)   45,742 
 9,600   e  Jin Co Ltd   535 
 111,655      John Menzies plc   1,025 
 28,000      Joshin Denki Co Ltd   404 
 18,400   e  Joyful Honda Co Ltd   563 
 248,654      JUMBO S.A.   4,544 
 38,400   *  Jumei International Holding Ltd (ADR)   82 
 181,878      KappAhl Holding AB   987 
 104,087   e  Keiyo Co Ltd   723 
 213,601      Kering   72,734 
 534,211      Kingfisher plc   2,092 
 50,000   *  Kintetsu Department Store Co Ltd   156 
 40,264   *  Kirkland’s, Inc   414 
 283,588      Kohl’s Corp   10,966 
 17,700      Kohnan Shoji Co Ltd   330 
 10,466      Kolao Holdings   58 
 91,700      Komeri Co Ltd   2,336 
 204,500   e  K’s Holdings Corp   3,998 
 350,070      L Brands, Inc   18,865 
 26,527   *,e  Lands’ End, Inc   395 
 18,100   *,e  Laox Co Ltd   95 
 243,422   e  Lewis Group Ltd   606 
 4,279,119      Li & Fung Ltd   1,556 
 174,185   *  Liberty Expedia Holdings, Inc   9,409 
 1,806,759   *  Liberty Interactive Corp   44,338 
 293,474   *  Liberty TripAdvisor Holdings, Inc   3,404 
 187,914   *  Liberty Ventures   9,826 
 616,000   *  Lifestyle China Group Ltd   207 
 46,095   e  Lithia Motors, Inc (Class A)   4,344 
 774,685   *  LKQ Corp   25,526 
 93,624      Lojas Americanas S.A.   343 
 718,294      Lojas Americanas S.A.(Preference)   3,035 
 694,789      Lojas Renner S.A.   5,742 
 663,124      Lookers plc   987 
 36,980      LOTTE Himart Co Ltd   2,256 
 11,779      Lotte Shopping Co Ltd   3,126 
 1,551,772      Lowe’s Companies, Inc   120,309 
 235,000      Luk Fook Holdings International Ltd   804 
 55,430   *,e  Lumber Liquidators, Inc   1,389 
 609,886      Macy’s, Inc   14,174 
 4,600      Magazine Luiza S.A.   355 
 30,778   *  Maisons du Monde S.A.   1,197 
 724,000   e  Maoye International Holdings Ltd   76 
 49,196   *  MarineMax, Inc   962 
 45,590   *  Marisa Lojas S.A.   71 
 6,162,203      Marks & Spencer Group plc   26,745 
 463,123      Marui Co Ltd   6,843 
 93,964      Matas A.S.   1,487 
134

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 18,600   e  Matsuya Co Ltd  $178 
 16,933   e  Mekonomen AB   336 
 148,169      Michael Hill International Ltd   126 
 367,872   *  Michaels Cos, Inc   6,813 
 134,185      Mobilezone Holding AG.   1,973 
 29,000      momo.com, Inc   201 
 63,147      Monro Muffler, Inc   2,636 
 238,102      Mr Price Group Ltd   2,839 
 76,318   *  Murphy USA, Inc   5,656 
 526,212   e  Myer Holdings Ltd   338 
 113,117      N Brown Group plc   457 
 1,136,786   *  NetFlix, Inc   169,847 
 861,295      New Carphone Warehouse plc   3,184 
 54,104      Next plc   2,717 
 30,800      Nishimatsuya Chain Co Ltd   316 
 79,712      Nitori Co Ltd   10,671 
 68,200      Nojima Corp   1,061 
 202,550   e  Nordstrom, Inc   9,688 
 42,910      NS Shopping Co Ltd   645 
 215,825      Nutri/System, Inc   11,234 
 365,262   *,e  Ocado Ltd   1,375 
 2,465,884      Office Depot, Inc   13,908 
 94,002   *  Ollie’s Bargain Outlet Holdings, Inc   4,004 
 317,117   g  On the Beach Group plc   1,609 
 124,074   *  O’Reilly Automotive, Inc   27,140 
 33,215   *  Overstock.com, Inc   541 
 1,168,300      Padini Holdings BHD   958 
 6,500   e  Pal Co Ltd   169 
 89,500      Paltac Corp   3,016 
 71,301      Parco Co Ltd   859 
 862,500   e  Parkson Retail Group Ltd   138 
 52,581   *,e  Party City Holdco, Inc   823 
 19,600   e  PC Depot Corp   101 
 93,815      PC Jeweller Ltd   711 
 3,118,115      Pendragon plc   1,259 
 90,427   e  Penske Auto Group, Inc   3,971 
 73,560   e  PetMed Express, Inc   2,987 
 249,173   e  Pets at Home Group plc   523 
 159,980      Pier 1 Imports, Inc   830 
 6,024,500   e  Pou Sheng International Holdings Ltd   1,080 
 576,000   *  Powerwell Pacific Holdings Ltd   238 
 39,308      Poya Co Ltd   499 
 74,970      Premier Investments Ltd   730 
 139,884   *  Priceline.com, Inc   261,656 
 5,289,500      PT ACE Hardware Indonesia Tbk   421 
 5,283,523      PT Matahari Department Store Tbk   5,619 
 1,170,900      PT Mitra Adiperkasa Tbk   597 
 8,228,900      PT Ramayana Lestari Sentosa Tbk   757 
 455,200      PTG Energy PCL   260 
 2,063,723      Rakuten, Inc   24,354 
 769,856   e  RCG Corp Ltd   509 
 85,297   e  Rent-A-Center, Inc   1,000 
 67,859   *,e  RH Holdings, Inc   4,378 
 8,200   e  Right On Co Ltd   72 
 1,552,783      Ripley Corp S.A.   1,184 
 339,200      Robinson PCL   581 
135

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 762,883      Ross Stores, Inc  $44,041 
 16,500      Ryohin Keikaku Co Ltd   4,130 
 740,443   e  SA SA International Holdings Ltd   292 
 1,119,021      SACI Falabella   9,194 
 399,057   *  Sally Beauty Holdings, Inc   8,081 
 37,700   e  Sanrio Co Ltd   741 
 108   *,e  Sears Holdings Corp   1 
 326,756   *  Select Comfort Corp   11,597 
 280,000      Senao International Co Ltd   527 
 50,900   e  Senshukai Co Ltd   367 
 12,022      Seobu Truck Terminal Co Ltd   197 
 40,100      Seria Co Ltd   1,937 
 34,900      Shimachu Co Ltd   833 
 51,203      Shimamura Co Ltd   6,277 
 7,449      Shinsegae Co Ltd   1,494 
 1,907      Shinsegae International Co Ltd   114 
 26,601      Shoe Carnival, Inc   555 
 3,386      Shopper’s Stop Ltd   18 
 148,640   *  Shutterfly, Inc   7,060 
 1,005,868      Siam Global House PCL   429 
 1,063,000      Sichuan Xinhua Winshare Chainstore Co Ltd   892 
 115,382   e  Signet Jewelers Ltd   7,297 
 28,846   g  Sleep Country Canada Holdings, Inc   915 
 53,821      Sonic Automotive, Inc (Class A)   1,047 
 184,773   *,e  Sports Direct International plc   701 
 68,540   *,e  Sportsman’s Warehouse Holdings, Inc   370 
 9,512   *,g  SRP Groupe S.A.   253 
 1,735,539      Staples, Inc   17,477 
 473,216      Start Today Co Ltd   11,662 
 25,951   *,e  Stockmann Oyj Abp (B Share)   226 
 637,586      Super Cheap Auto Group Ltd   4,018 
 247,045   *  Super Group Ltd   697 
 35,157      SuperGroup plc   685 
 40,000      Syuppin Co Ltd   706 
 96,458   e  Tailored Brands, Inc   1,076 
 222,819      Takashimaya Co Ltd   2,126 
 60,555      Takkt AG.   1,514 
 906,212      Target Corp   47,386 
 55,600      Telepark Corp   1,056 
 7,502,099      Test-Rite International Co   5,843 
 326,510      Tiffany & Co   30,649 
 66,985      Tile Shop Holdings, Inc   1,383 
 325,532      Tilly’s, Inc   3,304 
 2,020,329      TJX Companies, Inc   145,807 
 93,000      Tokmanni Group Corp   774 
 11,400   e  Tokyo Derica Co Ltd   128 
 222,000      Tractor Supply Co   12,035 
 580,283      Trade Me Ltd   2,266 
 246,502   *,e  TripAdvisor, Inc   9,416 
 433,248      Truworths International Ltd   2,368 
 152,375   *  Ulta Beauty, Inc   43,783 
 28,574      Uni-Select, Inc   690 
 18,099      United Arrows Ltd   588 
 1,284,080   *,e  Urban Outfitters, Inc   23,807 
 156,086      USS Co Ltd   3,111 
 9,067      Valora Holding AG.   2,898 
136

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 9,722,603      Via Varejo S.A.  $31,930 
 940,500   *  Vipshop Holdings Ltd (ADR)   9,922 
 889,470      Vita Group Ltd   759 
 44,542   *  Vitamin Shoppe, Inc   519 
 111,700      VT Holdings Co Ltd   552 
 120,675   *  Wayfair, Inc   9,277 
 179,958      Webjet Ltd   1,708 
 88,155      West Marine, Inc   1,133 
 305,871      WH Smith plc   6,827 
 241,195   e  Williams-Sonoma, Inc   11,698 
 4,751      Winmark Corp   613 
 1,319,534      Woolworths Holdings Ltd   6,224 
 78,900      Xebio Co Ltd   1,395 
 183,849   e,g  XXL ASA   1,768 
 640,785   e  Yamada Denki Co Ltd   3,186 
 277,719   *,e  Yatra Online, Inc   3,123 
 39,900      Yellow Hat Ltd   953 
 85,834   *,e  Yoox S.p.A   2,378 
 35,856   *,g  Zalando SE   1,640 
 306,523      Zhongsheng Group Holdings Ltd   572 
 4,020   *  zooplus AG.   800 
 79,855   *  Zumiez, Inc   986 
        TOTAL RETAILING   4,831,915 
                
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.3%
 43,387   *,e  Acacia Communications, Inc   1,799 
 533,615      A-DATA Technology Co Ltd   1,309 
 165,542   *  Advanced Energy Industries, Inc   10,709 
 4,266,084   *,e  Advanced Micro Devices, Inc   53,241 
 8,280   *  Advanced Process Systems Corp   357 
 50,267,190   *  Advanced Semiconductor Engineering, Inc   64,430 
 1,092,009   e  Advanced Semiconductor Engineering, Inc (ADR)   6,891 
 110,000      Advanced Wireless Semiconductor Co   232 
 206,100   e  Advantest Corp   3,533 
 78,579   *,e  Aixtron AG.   553 
 189,442   *  Alpha & Omega Semiconductor Ltd   3,158 
 71,122   *,e  Ambarella, Inc   3,453 
 413,033   *  Amkor Technology, Inc   4,035 
 126,016   e  ams AG.   8,177 
 618,179      Analog Devices, Inc   48,094 
 6,692,578   n  Applied Materials, Inc   276,470 
 60,000   *  APS Holdings Corp   618 
 198,738      Ardentec Corp   176 
 43,761      ASM International NV   2,545 
 613,904      ASM Pacific Technology   8,283 
 18,000      ASMedia Technology, Inc   186 
 569,425      ASML Holding NV   74,226 
 16,000      ASPEED Technology, Inc   355 
 22,944   *  Atto Co Ltd   167 
 58,958   *  Axcelis Technologies, Inc   1,235 
 73,561   *  AXT, Inc   467 
 153,325      BE Semiconductor Industries NV   8,199 
 1,640,384   n  Broadcom Ltd   382,292 
 346,771      Brooks Automation, Inc   7,521 
 105,357      Cabot Microelectronics Corp   7,779 
 83,798   *  Cavium, Inc   5,206 
137

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

          VALUE 
SHARES      COMPANY  (000) 
 51,607   *  Ceva, Inc  $2,346 
 572,000      China Electronics Corp Holdings Co Ltd   91 
 11,538   *,e,m  China Energy Savings Technology, Inc   0 
 450,000      Chipbond Technology Corp   692 
 484,000      ChipMOS Technologies, Inc   483 
 248,885   *  Cirrus Logic, Inc   15,610 
 52,545      Cohu, Inc   827 
 215,061   *  Cree, Inc   5,301 
 13,449   *,e  CyberOptics Corp   278 
 951,269   e  Cypress Semiconductor Corp   12,985 
 91,423      Dainippon Screen Manufacturing Co Ltd   6,116 
 86,828   *  Dialog Semiconductor plc   3,710 
 88,819   *  Diodes, Inc   2,134 
 67,000      Disco Corp   10,746 
 23,608   *  Dongbu HiTek Co Ltd   464 
 45,645   *  DSP Group, Inc   529 
 305,000      Elan Microelectronics Corp   424 
 77,880      Elite Advanced Laser Corp   352 
 200,000      Elite Semiconductor Memory Technology, Inc   242 
 7,092      Elmos Semiconductor AG.   156 
 52,571      eMemory Technology, Inc   687 
 367,021   *  Entegris, Inc   8,056 
 5,957      Eo Technics Co Ltd   470 
 708,000   *  Epistar Corp   652 
 304,167   *  E-Ton Solar Tech Co Ltd   87 
 10,491      Eugene Technology Co Ltd   167 
 316,000      Everlight Electronics Co Ltd   509 
 174,060      Faraday Technology Corp   220 
 199,489   *,e  First Solar, Inc   7,956 
 178,000      Forhouse Corp   78 
 186,616   *  Formfactor, Inc   2,314 
 268,000      Formosa Advanced Technologies Co Ltd   250 
 13,459,308   e  GCL Poly Energy Holdings Ltd   1,465 
 18,195   *  GemVax & Kael Co Ltd   199 
 17,686      Giga Solar Materials Corp   160 
 245,986   *  Gigastorage Corp   145 
 352,454   *  Gintech Energy Corp   185 
 68,000      Global Unichip Corp   288 
 296,000      Globalwafers Co Ltd   2,067 
 177,300      Globetronics Technology BHD   251 
 927,000      Greatek Electronics, Inc   1,505 
 28,016   *  GSI Technology, Inc   220 
 8,313   *,e  G-SMATT GLOBAL Co Ltd   100 
 1,332,700      Hana Microelectronics PCL (Foreign)   1,971 
 20,829      Hanmi Semiconductor Co Ltd   153 
 11,366   *  Hansol LCD, Inc   169 
 152,000      Holtek Semiconductor, Inc   285 
 805,000   g  Hua Hong Semiconductor Ltd   1,092 
 911,734      Hynix Semiconductor, Inc   53,683 
 15,996   *,e  Hyundai Robotics Co Ltd   5,404 
 22,991   *  Ichor Holdings Ltd   463 
 192,298   *,e  Imagination Technologies Group plc   384 
 35,584   *,e  Impinj, Inc   1,731 
 1,512,157      Infineon Technologies AG.   32,119 
 82,834   *,e  Inphi Corp   2,841 
 450,371   *  Integrated Device Technology, Inc   11,615 
138

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 11,052,128   n  Intel Corp  $372,899 
 501,184   *,e  IQE plc   548 
 53,831      IXYS Corp   886 
 331,800   *,e  JA Solar Holdings Co Ltd (ADR)   2,107 
 13,800   e  Japan Material Co Ltd   258 
 314,700   *,e  JinkoSolar Holding Co Ltd (ADR)   6,546 
 27,406   *  Jusung Engineering Co Ltd   326 
 83,609      KC Tech Co Ltd   1,713 
 822,000      King Yuan Electronics Co Ltd   841 
 201,000      Kinsus Interconnect Technology Corp   533 
 624,336      Kla-Tencor Corp   57,133 
 8,212      Koh Young Technology, Inc   431 
 131,381   *  Kopin Corp   487 
 9,868      L&F Co Ltd   195 
 854,429      Lam Research Corp   120,842 
 38,800      Land Mark Optoelectronics Corp   444 
 48,995,000   *  Landing International Development   484 
 31,900   e  Lasertec Corp   444 
 241,637   *  Lattice Semiconductor Corp   1,609 
 7,362      LEENO Industrial Inc   309 
 262,726      Lextar Electronics Corp   155 
 19,048      Lite-On Semiconductor Corp   20 
 83,556   *,e  MA-COM Technology Solutions   4,660 
 176,000      Malaysian Pacific Industries BHD   553 
 3,241   *,e  Manz Automation AG.   125 
 1,244,165      Marvell Technology Group Ltd   20,554 
 765,353      Maxim Integrated Products, Inc   34,364 
 256,874   *  MaxLinear, Inc   7,164 
 1,404,894      MediaTek, Inc   12,019 
 201,700   e  Megachips Corp   4,987 
 39,271      Melexis NV   3,225 
 170,591   *,e  Mellanox Technologies Ltd   7,387 
 413,207   *,e  Meyer Burger Technology AG.   517 
 684,280      Microchip Technology, Inc   52,813 
 2,569,423   *  Micron Technology, Inc   76,723 
 20,500   e  Micronics Japan Co Ltd   203 
 441,214   *  Microsemi Corp   20,649 
 13,200      Mimasu Semiconductor Industry Co Ltd   199 
 52,400      Mitsui High-Tec, Inc   839 
 139,558      MKS Instruments, Inc   9,392 
 158,678      Monolithic Power Systems, Inc   15,297 
 271,000   *  Motech Industries, Inc   222 
 157,657   *  Nanometrics, Inc   3,987 
 652,000      Nanya Technology Corp   1,173 
 450,324   *  Neo Solar Power Corp   216 
 64,507   *,e  NeoPhotonics Corp Ltd   498 
 89,345   *  Nordic Semiconductor ASA   356 
 528,752      Novatek Microelectronics Corp Ltd   2,135 
 3,000   e  Nuflare Technology, Inc   179 
 9,389      NVE Corp   723 
 1,943,147   n  NVIDIA Corp   280,901 
 1,114,196   *  NXP Semiconductors NV   121,949 
 1,426,393   *  ON Semiconductor Corp   20,027 
 25,000      On-Bright Electronics, Inc   171 
 578,000   *  Orient Semiconductor Electronics Ltd   155 
 149,127      Orise Technology Co Ltd   171 
139

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 47,401      Parade Technologies Ltd  $583 
 54,945   *,e  PDF Solutions, Inc   904 
 1,326,895      Phison Electronics Corp   16,392 
 176,165   *  Photronics, Inc   1,656 
 75,613      Pixart Imaging, Inc   196 
 55,776   *  Pixelworks, Inc   256 
 69,525      Power Integrations, Inc   5,068 
 2,242,397      Powertech Technology, Inc   6,917 
 254,082   *  Qorvo, Inc   16,088 
 3,068,538      Qualcomm, Inc   169,445 
 2,652,000      Radiant Opto-Electronics Corp   5,905 
 226,378   *  Rambus, Inc   2,587 
 436,333      Realtek Semiconductor Corp   1,569 
 1,448,793   *,e  REC Silicon ASA   188 
 460,791      Rohm Co Ltd   35,528 
 168,685   *  Rudolph Technologies, Inc   3,854 
 170,651      Samsung Electronics Co Ltd   355,435 
 27,138      Samsung Electronics Co Ltd (Preference)   44,248 
 77,000      Sanken Electric Co Ltd   325 
 2,713,047   *,e  Semiconductor Manufacturing International Corp   3,143 
 379,355   *  Semtech Corp   13,562 
 26,452   e  Seoul Semiconductor Co Ltd   501 
 180,000   *,e  Shanghai Fudan Microelectronics Group Co Ltd   121 
 250,000      Shindengen Electric Manufacturing Co Ltd   1,361 
 280,000   *,e  Shinkawa Ltd   1,781 
 468,600      Shinko Electric Industries   3,983 
 25,000      ShunSin Technology Holding Ltd   90 
 91,394   *  Sigma Designs, Inc   535 
 127,000      Sigurd Microelectronics Corp   115 
 39,934      Silergy Corp   769 
 159,037   *  Silicon Laboratories, Inc   10,870 
 357,867   e  Silicon Motion Technology Corp (ADR)   17,260 
 47,672      Silicon Works Co Ltd   1,462 
 1,997,807      Siliconware Precision Industries Co   3,227 
 79,926   *  Siltronic AG.   6,791 
 387,000      Sino-American Silicon Products, Inc   574 
 566,000      Sitronix Technology Corp   1,745 
 717,433      Skyworks Solutions, Inc   68,838 
 57,058   e  SMA Solar Technology AG.   1,715 
 18,054   *  SOITEC   1,101 
 964,331   e  STMicroelectronics NV   13,867 
 48,962   *  STS Semiconductor & Telecommunications   106 
 171,300      Sumco Corp   2,490 
 132,878   *,e  SunPower Corp   1,241 
 5,309,600      SVI PCL (Foreign)   946 
 638,000      Taiwan Semiconductor Co Ltd   872 
 43,415,096      Taiwan Semiconductor Manufacturing Co Ltd   296,621 
 345,702      Taiwan Surface Mounting Technology Co Ltd   288 
 550,659      Teradyne, Inc   16,536 
 9,930      TES Co Ltd   245 
 2,609,529      Texas Instruments, Inc   200,751 
 3,589      Tokai Carbon Korea Co Ltd   136 
 180,140      Tokyo Electron Ltd   24,354 
 37,900      Tokyo Seimitsu Co Ltd   1,223 
 626,511      Topco Scientific Co Ltd   1,930 
 12,744      Toptec Co Ltd   362 
140

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 205,201   *  Tower Semiconductor Ltd  $4,911 
 1,746,000   *,m  Trony Solar Holdings Co Ltd.   2 
 4,357      U-Blox AG.   818 
 7,800      UKC Holdings Corp   131 
 125,622   *  Ultra Clean Holdings   2,355 
 76,900      Ulvac, Inc   3,711 
 1,563,400      Unisem M BHD   1,303 
 10,683,871      United Microelectronics Corp   5,185 
 824,228      Vanguard International Semiconductor Corp   1,625 
 93,910   *  Veeco Instruments, Inc   2,615 
 334,961      Versum Materials, Inc   10,886 
 144,068      Visual Photonics Epitaxy Co Ltd   289 
 631,503      Win Semiconductors Corp   3,465 
 1,863,000      Winbond Electronics Corp   1,116 
 17,064   *  WONIK IPS Co Ltd   442 
 106,163   *,e  Xcerra Corp   1,037 
 769,122      Xilinx, Inc   49,470 
 117,000      XinTec, Inc   191 
 2,060,000   e  Xinyi Solar Holdings Ltd   588 
 136,680      Xperi Corp   4,073 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   3,925,735 
        
SOFTWARE & SERVICES - 10.7%
 53,600   *,e  21Vianet Group, Inc (ADR)   269 
 86,468   *,e  2U, Inc   4,057 
 78,600   *  58.COM, Inc (ADR)   3,467 
 320,545   *  8x8, Inc   4,664 
 514,705   *  A10 Networks, Inc   4,344 
 1,991,332      Accenture plc   246,288 
 232,243   *  ACI Worldwide, Inc   5,195 
 105,935   *,e  Aconex Ltd   304 
 2,471,847      Activision Blizzard, Inc   142,304 
 106,927   *  Actua Corp   1,502 
 155,795   *  Acxiom Corp   4,048 
 513      Addcn Technology Co Ltd   5 
 1,319,841   *  Adobe Systems, Inc   186,678 
 1,960,000   *,e  AGTech Holdings Ltd   334 
 4,283   e  Ahnlab, Inc   188 
 245,908   *  Akamai Technologies, Inc   12,249 
 2,400   *,e  Akatsuki, Inc   188 
 41,893   *  Alarm.com Holdings, Inc   1,576 
 2,268,662   *,e  Alibaba Group Holding Ltd (ADR)   319,654 
 108,685      Alliance Data Systems Corp   27,898 
 249,787      Alpha Systems, Inc   5,104 
 912,746   *  Alphabet, Inc (Class A)   848,562 
 1,090,951   *  Alphabet, Inc (Class C)   991,380 
 54,997      Alten   4,536 
 17,661   *  Alteryx, Inc   345 
 81,750   e  Altium Ltd   538 
 286,371      Altran Technologies S.A.   4,665 
 527,736      Amadeus IT Holding S.A.   31,546 
 40,724   *  Amber Road, Inc   349 
 642,029      Amdocs Ltd   41,385 
 57,019   *  American Software, Inc (Class A)   587 
 79,069   *,e  Angie’s List, Inc   1,011 
 114,654   *  Ansys, Inc   13,951 
141

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 27,770   *  Appfolio, Inc  $905 
 55,387   *  Apptio, Inc   961 
 339,921   *  Aspen Technology, Inc   18,784 
 48,661      Asseco Poland S.A.   640 
 8,400      Ateam, Inc   223 
 77,105   *,e  Atlassian Corp plc   2,713 
 222,040      Atos Origin S.A.   31,155 
 2,054,765   g  Auto Trader Group plc   10,174 
 60,000   *  Autobytel, Inc   757 
 251,256   *  Autodesk, Inc   25,332 
 83,333   *,e  Autohome, Inc (ADR)   3,780 
 915,058      Automatic Data Processing, Inc   93,757 
 42,730      Aveva Group plc   1,080 
 9,265      Axway Software S.A.   323 
 457,006   *  Baidu, Inc (ADR)   81,740 
 93,236   *  Bankrate, Inc   1,198 
 18,700   *,e  Baozun, Inc (ADR)   415 
 123,873   *  Barracuda Networks, Inc   2,857 
 358,833   *  Bazaarvoice, Inc   1,776 
 9,819      Bechtle AG.   1,262 
 538,000   *  Beijing Beida Jade Bird Universal Sci-Tech Co Ltd   119 
 31,337   *,e  Benefitfocus, Inc   1,139 
 14,800   *,e  Bitauto Holdings Ltd (ADR)   425 
 54,191   *,e  Black Knight Financial Services, Inc   2,219 
 94,290      Blackbaud, Inc   8,085 
 108,015   *  Blackhawk Network Holdings, Inc   4,709 
 21,739   *  Blackline, Inc   777 
 81,175   *  Blucora, Inc   1,721 
 26,598   *,e  Blue Prism Group plc   267 
 583,202      Booz Allen Hamilton Holding Co   18,977 
 88,785   *  Bottomline Technologies, Inc   2,281 
 338,294   *  Box, Inc   6,170 
 273,000   *,e  Boyaa Interactive International Ltd   117 
 164,778   *  Brightcove, Inc   1,022 
 28,400      Broadleaf Co Ltd   175 
 245,416      Broadridge Financial Solutions, Inc   18,544 
 60,156   *,e  BroadSoft, Inc   2,590 
 22,900      Brogent Technologies, Inc   194 
 1,535,395      CA, Inc   52,925 
 70,000      CAC Holdings Corp   655 
 48,437   *  CACI International, Inc (Class A)   6,057 
 531,059   *  Cadence Design Systems, Inc   17,785 
 127,487   *  Callidus Software, Inc   3,085 
 11,070   e  Cancom SE   674 
 379,716      Cap Gemini S.A.   39,226 
 478,886      Capcom Co Ltd   11,366 
 48,280   *  Carbonite, Inc   1,053 
 30,204   *,e  CardConnect Corp   455 
 90,210   *  Cardtronics plc   2,964 
 171,885   *  Care.com, Inc   2,595 
 143,053   *,e  Cars.com, Inc   3,810 
 286,887      carsales.com Ltd   2,541 
 21,542      Cass Information Systems, Inc   1,414 
 42,908   *,e  Catena Media plc   469 
 93,422      CD Projekt Red S.A.   2,169 
 270,895      CDK Global, Inc   16,812 
142

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 196,792   *  CGI Group, Inc  $10,055 
 12,600   *,e  Changyou.com Ltd (ADR)   488 
 52,000   *  Chanjet Information Technology Co Ltd   74 
 152,838   *  ChannelAdvisor Corp   1,765 
 266,790   *  Check Point Software Technologies   29,101 
 20,900   *,e  Cheetah Mobile, Inc (ADR)   225 
 492,000   *,e  China City Railway Transportation Technology Holdings Co Ltd   72 
 1,432,000      Chinasoft International Ltd   759 
 1,519,898      Cielo S.A.   11,286 
 166,375   *,e  Cimpress NV   15,727 
 445,276   *  Citrix Systems, Inc   35,435 
 27,361   *,e  Cloudera, Inc   438 
 1,154,945      Cognizant Technology Solutions Corp (Class A)   76,688 
 79,500   e  COLOPL, Inc   806 
 6,905      Com2uSCorp   711 
 87,803   *  CommerceHub, Inc   1,531 
 27,523   *  CommerceHub, Inc (Series A)   479 
 228,548   *  Commvault Systems, Inc   12,902 
 141,732      Computer Modelling Group Ltd   1,113 
 530,960      Computershare Ltd   5,770 
 516,897   *  Conduent, Inc   8,239 
 38,726      Constellation Software, Inc   20,259 
 362,130      Convergys Corp   8,611 
 35,000   e  COOKPAD, Inc   284 
 192,856   *  Cornerstone OnDemand, Inc   6,895 
 69,335   *  CoStar Group, Inc   18,277 
 58,866   *,e  Coupa Software, Inc   1,706 
 5,100   e  CROOZ, Inc   122 
 99,410      CSG Systems International, Inc   4,034 
 397,208      CSRA, Inc   12,611 
 35,021   *  CyberArk Software Ltd   1,749 
 106,008   e  Dassault Systemes S.A.   9,508 
 452,800      Datasonic Group BHD   131 
 1,611,009   *  Dell Technologies, Inc-VMware Inc   98,449 
 211,200      Dena Co Ltd   4,747 
 313,850   *  Descartes Systems Group, Inc   7,636 
 13,118      Devoteam S.A.   1,043 
 279,302   *  DHI Group, Inc   796 
 19,377   *,e  Digimarc Corp   778 
 26,300      Digital Garage, Inc   494 
 56,200      Dip Corp   1,143 
 6,165      DoubleUGames Co Ltd   333 
 232,014      DST Systems, Inc   14,315 
 62,900      DTS Corp   1,932 
 14,613      DuzonBIzon Co Ltd   393 
 2,999,620   *  DXC Technology Co   230,131 
 3,478,258   *  eBay, Inc   121,461 
 47,642   e  Ebix, Inc   2,568 
 27,293      eClerx Services Ltd   558 
 203,528      Econocom Group S.A.   1,702 
 1,004,152   *  Electronic Arts, Inc   106,159 
 66,946   *  Ellie Mae, Inc   7,358 
 169,844      Ementor ASA   2,279 
 116,980   *  Endurance International Group Holdings, Inc   977 
 52,897   *  EnerNOC, Inc   410 
143

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 38,221      Enghouse Systems Ltd  $1,549 
 84,985   *  Envestnet, Inc   3,365 
 93,656      EOH Holdings Ltd   901 
 220,716   *  EPAM Systems, Inc   18,560 
 377,476   g  Equiniti Group plc   1,228 
 145,946   *  Euronet Worldwide, Inc   12,751 
 121,335   *  Everbridge, Inc   2,956 
 125,655   *  Everi Holdings, Inc   915 
 499,693      EVERTEC, Inc   8,645 
 30,302   *  EXA Corp   418 
 163,542   *  ExlService Holdings, Inc   9,090 
 28,100      F@N Communications, Inc   249 
 7,810,601   *  Facebook, Inc   1,179,244 
 105,283      Fair Isaac Corp   14,678 
 173,700   *,e  Fang Holdings Ltd (ADR)   644 
 9,800   *,e  FFRI, Inc   462 
 832,169      Fidelity National Information Services, Inc   71,067 
 232,611   *,e  FireEye, Inc   3,538 
 326,517   *  First American Corp   14,164 
 1,054,630   *  First Data Corp   19,194 
 436,547   *  Fiserv, Inc   53,407 
 299,583   *  Five9, Inc   6,447 
 353,401   *  FleetCor Technologies, Inc   50,964 
 19,364      Formula Systems 1985 Ltd   725 
 24,625      Forrester Research, Inc   964 
 371,700      Forth Smart Service PCL   205 
 297,605   *  Fortinet, Inc   11,142 
 65,603      F-Secure Oyj   313 
 21,400      FUJI SOFT, Inc   606 
 139,800      Fujitsu Broad Solution & Consulting, Inc   1,300 
 6,391,592      Fujitsu Ltd   47,274 
 6,000      Fukui Computer Holdings, Inc   202 
 14,600      Future Architect, Inc   114 
 11,862   *  GameHi Co Ltd   76 
 3,263   *,e  Gamevil, Inc   178 
 233,099   *  Gaming Innovation Group, Inc   124 
 331,344   *  Gartner, Inc   40,924 
 86,213   e  GB Group plc   390 
 12,849   *,e  GDS Holdings Ltd (ADR)   119 
 526,892      Genpact Ltd   14,663 
 11,461   e  GFT Technologies AG.   238 
 86,099   *,e  Gigamon, Inc   3,388 
 88,005   *  Global Dominion Access S.A.   393 
 394,893      Global Payments, Inc   35,667 
 15,791   *  Global Sources Ltd   316 
 204,342   *,e  Glu Mobile, Inc   511 
 80,500   e  GMO internet, Inc   1,048 
 25,000   e  GMO Payment Gateway, Inc   1,386 
 212,269   *  Gocompare.Com Group plc   293 
 353,029   *  GoDaddy, Inc   14,975 
 112,651   *,e  Gogo, Inc   1,299 
 2,382      Golfzon co Ltd   123 
 18,200      Gourmet Navigator, Inc   296 
 81,250   *,e  Gravity Co Ltd (ADR)   1,476 
 178,700   e  Gree, Inc   1,562 
 12,207   *,e  Gridsum Holding, Inc (ADR)   104 
144

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 696,411   *,e  GrubHub, Inc  $30,364 
 12,934   *  G-treeBNT Co Ltd   203 
 61,038   *  GTT Communications, Inc   1,932 
 47,328   *  Guidance Software, Inc   313 
 231,611   *  Guidewire Software, Inc   15,914 
 312,500      GungHo Online Entertainment Inc   805 
 12,198      Haansoft, Inc   182 
 239,536      Hackett Group, Inc   3,713 
 279,459      Hansen Technologies Ltd   868 
 274,000   e  HC International, Inc   198 
 784,337      HCL Technologies Ltd   10,324 
 8,900   e  Hearts United Group Co Ltd   136 
 68,616      Hexaware Technologies Ltd   257 
 1,359,000   *,e  Hi Sun Technology China Ltd   235 
 188,820   *  Hortonworks, Inc   2,432 
 121,616   *,e  HubSpot, Inc   7,996 
 919,063   *  IAC/InterActiveCorp   94,884 
 578,000   e  IGG, Inc   891 
 148,156   *  Imperva, Inc   7,089 
 181,369   *  Indra Sistemas S.A.   2,618 
 565,100      Ines Corp   5,662 
 198,386      Inesa Intelligent Tech, Inc - B   136 
 96,449      Info Edge India Ltd   1,542 
 17,700      Infocom Corp   340 
 1,203,860   e  Infomart Corp   9,160 
 80,512   *  Information Services Group, Inc   331 
 34,500      Information Services International-Dentsu Ltd   809 
 1,713,796      Infosys Technologies Ltd   24,807 
 6,765   *,e  Inspired Entertainment, Inc   88 
 78,670   *  Instructure, Inc   2,321 
 158,046   *  Internap Network Services Corp   580 
 1,309,359      International Business Machines Corp   201,419 
 41,000      International Games System Co Ltd   214 
 18,900      Internet Initiative Japan, Inc   344 
 53,987   *  InterXion Holding NV   2,472 
 1,228,344      Intuit, Inc   163,136 
 67,248      iomart Group plc   268 
 21,800   e  Istyle, Inc   173 
 165,930      IT Holdings Corp   4,620 
 201,300      Itochu Techno-Science Corp   7,059 
 91,659   e  j2 Global, Inc   7,799 
 99,769      Jack Henry & Associates, Inc   10,363 
 1,700   *,e  JIG-SAW, Inc   96 
 24,451      Just Dial Ltd   140 
 362,622   *  Just Eat plc   3,095 
 27,000      Justsystems Corp   402 
 116,682      Kainos Group plc   411 
 134,320      Kakaku.com, Inc   1,931 
 27,949   e  Kakao Corp   2,480 
 30,300      Kanematsu Electronics Ltd   932 
 8,489      KCP Co Ltd   105 
 30,999      Keywords Studios plc   301 
 72,378      Kginicis Co Ltd   762 
 203,773   *  Kinaxis, Inc   12,687 
 1,244,000   *,e  Kingdee International Software Group Co Ltd   518 
 1,268,061   e  Kingsoft Corp Ltd   3,301 
145

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 20,000   *,e  KLab, Inc  $316 
 114,368      Konami Corp   6,366 
 10,452   *  Korea Information & Communications Co Ltd   107 
 327,726      KPIT Cummins Infosystems Ltd   622 
 25,694   *  Larsen & Toubro Infotech Ltd   314 
 23,117   *  Leaf Group Ltd   180 
 430,288      Leidos Holdings, Inc   22,242 
 435,448   *  Limelight Networks, Inc   1,258 
 37,800   *,e  LINE Corp   1,312 
 543,758   e  Link Administration Holdings Ltd   3,302 
 82,967      Linx S.A.   447 
 77,220   *  Liquidity Services, Inc   490 
 294,381   *  Liveperson, Inc   3,238 
 211,741      LogMeIn, Inc   22,127 
 11,655   *  Logo Yazilim Sanayi Ve Ticaret AS.   195 
 10,717   *  Majesco   53 
 277,860   *  Manhattan Associates, Inc   13,354 
 66,684      Mantech International Corp (Class A)   2,759 
 336,170   e  Marvelous, Inc   3,319 
 1,994,425      MasterCard, Inc (Class A)   242,223 
 68,649   *,e  Match Group, Inc   1,193 
 84,109      Matrix IT Ltd   862 
 141,433      MAXIMUS, Inc   8,858 
 129,907   *,e  Meet Group, Inc   656 
 467,421      Micro Focus International plc   13,821 
 21,613,229   n  Microsoft Corp   1,489,800 
 162,528   *  MicroStrategy, Inc (Class A)   31,152 
 72,753   *,e  MINDBODY, Inc   1,979 
 155,731      MindTree Ltd   1,273 
 13,100      Miroku Jyoho Service Co Ltd   278 
 101,303   *  Mitek Systems, Inc   851 
 3,900      Mitsubishi Research Institute, Inc   113 
 151,560      Mixi Inc   8,434 
 199,772   *  MobileIron, Inc   1,209 
 203,919   *  Mobileye NV   12,806 
 58,991   *,e  Model N, Inc   785 
 159,200   *  Momo, Inc (ADR)   5,884 
 71,237   *  MoneyGram International, Inc   1,229 
 1,292,089      Moneysupermarket.com Group plc   5,951 
 81,351      Monotype Imaging Holdings, Inc   1,489 
 2,700   *,e  Morpho, Inc   133 
 126,153      Mphasis Ltd   1,170 
 11,600      MTI Ltd   75 
 29,689   *,e  MuleSoft, Inc   740 
 1,535,750      My EG Services BHD   783 
 881,431   e  MYOB Ltd   2,316 
 852,000   *,e,m  National Agricultural Holdings Ltd   65 
 37,829      Naver Corp   27,730 
 196,341   e  NCC Group plc   419 
 16,778      NCI, Inc (Class A)   354 
 16,656      NCsoft   5,525 
 16,600      NEC Networks & System Integration Corp   361 
 46,115      Nemetschek AG.   3,440 
 637,900      NET One Systems Co Ltd   6,056 
 128,500   e  NetDragon Websoft, Inc   335 
 174,265      Netease.com (ADR)   52,389 
146

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 123,242      NetEnt AB  $1,077 
 80,321   *  Nets A.S.   1,598 
 108,788   *  NeuStar, Inc (Class A)   3,628 
 58,155   *  New Relic, Inc   2,501 
 234,064      Nexon Co Ltd   4,643 
 204,297   *  NEXTDC Ltd   708 
 8,002   *  NHN Entertainment Corp   562 
 126,259      NIC, Inc   2,393 
 4,203      Nice Information & Telecommunication, Inc   96 
 82,480      Nice Systems Ltd   6,498 
 255,400      Nihon Unisys Ltd   4,045 
 50,192      NIIT Technologies Ltd   448 
 302,481      Nintendo Co Ltd   101,268 
 26,700      Nippon System Development Co Ltd   481 
 197,524      Nomura Research Institute Ltd   7,803 
 64,300   *,e  NQ Mobile, Inc (ADR)   219 
 70,400      NS Solutions Corp   1,678 
 1,174,635      NTT Data Corp   13,105 
 579,432   *  Nuance Communications, Inc   10,088 
 347,198   *,e  Nutanix, Inc   6,996 
 7,400      OBIC Business Consultants Ltd   387 
 53,000      Obic Co Ltd   3,264 
 60,830   *,e  Okta, Inc   1,387 
 28,090   *,e  Ominto, Inc   428 
 624,912   e  Open Text Corp   19,724 
 74,467      Opera Software ASA   292 
 574,827   *  Optimal Payments plc   3,826 
 13,127,588      Oracle Corp   658,217 
 46,949      Oracle Corp Japan   3,054 
 18,695      Otsuka Corp   1,163 
 217,000   *,e  Ourgame International Holdings Ltd   60 
 356,700      Pacific Online   71 
 490,722   *,e  Pandora Media, Inc   4,377 
 14,913      Paradox Interactive AB   122 
 26,569   *,e  Park City Group, Inc   323 
 650,408      Paychex, Inc   37,034 
 97,418   *,e  Paycom Software, Inc   6,664 
 51,248   *  Paylocity Holding Corp   2,315 
 5,909,829   *  PayPal Holdings, Inc   317,181 
 61,938      PC Home Online   479 
 263,000      PCA Corp   3,503 
 143,185      Pegasystems, Inc   8,355 
 152,383   *  Perficient, Inc   2,840 
 55,162      Persistent Systems Ltd   582 
 30,300   *  PFSweb, Inc   250 
 24,000   *  Phoenix New Media Ltd (ADR)   63 
 84,911   *  Planet Payment, Inc   280 
 839,870      Playtech Ltd   10,404 
 41,075      POSDATA Co Ltd   266 
 37,090   *  Presidio, Inc   531 
 418,626      Progress Software Corp   12,931 
 758,638   *,e  Proofpoint, Inc   65,873 
 51,899   *  PROS Holdings, Inc   1,422 
 311,841   *  PTC, Inc   17,189 
 61,805   *  Q2 Holdings, Inc   2,284 
 24,546      QAD, Inc (Class A)   787 
147

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 165,245   *  Qualys, Inc  $6,742 
 79,767   *  QuinStreet, Inc   333 
 191,807   *  Quotient Technology, Inc   2,206 
 52,601   *  Rapid7, Inc   885 
 131,914   *  Real Matters, Inc   1,083 
 51,999   *  RealNetworks, Inc   225 
 227,330   *,e  RealPage, Inc   8,173 
 413,942   *  Red Hat, Inc   39,635 
 29,366      Reis, Inc   624 
 11,280   *  Renren, Inc (ADR)   69 
 2,340,000   *,e  Rentian Technology Holdings Ltd   117 
 3,600      Reply S.p.A.   665 
 26,168   e  RIB Software AG.   443 
 170,547      Rightmove plc   9,437 
 22,953   *,e  Rightside Group Ltd   244 
 369,951   *  RingCentral, Inc   13,522 
 70,505   *,e  Rocket Fuel, Inc   194 
 113,489   *,e  Rocket Internet SE   2,445 
 36,529   *  Rosetta Stone, Inc   394 
 400,470   *  Rubicon Project, Inc   2,058 
 722,402      Sabre Corp   15,727 
 36,081   e  SafeCharge International Group Ltd   125 
 1,123,241      Sage Group plc   10,065 
 33,067      Saipens International Corp NV   378 
 4,500,183   *  salesforce.com, Inc   389,716 
 32,471      Samsung SDS Co Ltd   5,237 
 1,052,995      SAP AG.   110,218 
 139,047      Science Applications International Corp   9,653 
 620,429   g  Scout24 AG.   22,822 
 16,427   *,e  SecureWorks Corp   153 
 1,526,512   *  ServiceNow, Inc   161,810 
 149,843   *  ServiceSource International LLC   581 
 175,260      Shanghai Baosight Software Co Ltd   253 
 109,672   *  Shopify, Inc   9,523 
 37,349   *,e  Shutterstock, Inc   1,646 
 82,836   *  Silver Spring Networks, Inc   934 
 1,614,900      Silverlake Axis Ltd   686 
 34,404      SimCorp AS   2,083 
 138,191   *  Sina Corp   11,742 
 6,440,000   *  Sino-I Technology Ltd   85 
 436,600   e  Sinosoft Technology Group Ltd   135 
 23,200      SMS Co Ltd   705 
 312,841      Softcat plc   1,604 
 40,098   e  Software AG.   1,759 
 53,540      Soft-World International Corp   148 
 20,700   *  Sohu.com, Inc   933 
 341,425      Sonda S.A.   560 
 183,397   g  Sophos Group plc   1,060 
 9,561   e  Sopra Group S.A.   1,526 
 199,868   *  Splunk, Inc   11,370 
 33,242   *  SPS Commerce, Inc   2,120 
 62,227      Square Enix Co Ltd   2,039 
 608,795   *  Square, Inc   14,282 
 416,605      SS&C Technologies Holdings, Inc   16,002 
 37,081   *,e  Stamps.com, Inc   5,743 
148

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 154,190   *,e  Starbreeze AB  $271 
 44,536   *  StarTek, Inc   545 
 32,442      Sumisho Computer Systems Corp   1,458 
 508,000      SUNeVision Holdings Ltd   321 
 86,278   *  Sykes Enterprises, Inc   2,893 
 7,220,167   n  Symantec Corp   203,970 
 85,283   *  Synchronoss Technologies, Inc   1,403 
 282,949   *  Synopsys, Inc   20,635 
 122,679   e  Syntel, Inc   2,081 
 11,200      Systena Corp   226 
 606,000      Systex Corp   1,292 
 65,813   *  Tableau Software, Inc   4,032 
 12,287   *  Takeaway.com Holding BV   523 
 677,399   *  Take-Two Interactive Software, Inc   49,708 
 844,831      Tata Consultancy Services Ltd   30,858 
 5,853      Tata Elxsi Ltd   143 
 999,777      Tech Mahindra Ltd   5,905 
 228,921      Technology One Ltd   1,013 
 41,136   *  TechTarget, Inc   427 
 27,100      Tecmo Koei Holdings Co Ltd   539 
 87,960   *  TeleNav, Inc   712 
 48,303      TeleTech Holdings, Inc   1,971 
 53,837      Temenos Group AG.   4,816 
 10,756,714      Tencent Holdings Ltd   385,896 
 821,692   *,e  Teradata Corp   24,232 
 302,000   g  Tian GE Interactive Holdings Ltd   215 
 43,476      Tietoenator Oyj   1,345 
 460,926      TiVo Corp   8,596 
 13,000      TKC   384 
 579,360      Total System Services, Inc   33,748 
 81,800      Totvus S.A.   745 
 119,228   *  Trade Desk, Inc   5,975 
 17,400      Trans Cosmos, Inc/Japan   417 
 1,082,985      Travelport Worldwide Ltd   14,902 
 4,282,000      Travelsky Technology Ltd   12,613 
 174,903      Trend Micro, Inc   9,040 
 123,756   *,e  TrueCar, Inc   2,466 
 17,807   *,e  Tucows, Inc   953 
 122,688   *,e  Twilio, Inc   3,571 
 1,692,725   *  Twitter, Inc   30,249 
 74,830   *  Tyler Technologies, Inc   13,145 
 219,334   *  Ubisoft Entertainment   12,452 
 65,676   *,e  Ultimate Software Group, Inc   13,796 
 252,772   *,e  Unisys Corp   3,235 
 77,366      United Internet AG.   4,258 
 22,000   e  UNITED, Inc   521 
 23,833   *  Upland Software, Inc   524 
 369,046      Vakrangee Ltd   2,459 
 383,285   *  Vantiv, Inc   24,277 
 123,084   *  Varonis Systems, Inc   4,579 
 59,467   *  Vasco Data Security International   853 
 125,062   *  Verint Systems, Inc   5,090 
 237,240   *,e  VeriSign, Inc   22,054 
 4,089   *,e  Veritone, Inc   48 
 98,359   *,e  VirnetX Holding Corp   448 
 54,774   *  Virtusa Corp   1,610 
149

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 7,431,192      Visa, Inc (Class A)  $696,897 
 393,194   *,e  VMware, Inc (Class A)   34,377 
 73,367   *  WebMD Health Corp (Class A)   4,303 
 76,366   *  Website Pros, Inc   1,932 
 11,355   *  Webzen, Inc   218 
 61,747   *,e  Weibo Corp (ADR)   4,104 
 7,041      WeMade Entertainment Co Ltd   212 
 1,347,880      Western Union Co   25,677 
 75,143   *  WEX, Inc   7,835 
 1,804,766      Wipro Ltd   7,211 
 167,943   e  Wirecard AG.   10,712 
 164,128      Wisetech Global Ltd   873 
 54,535   *  Wix.com Ltd   3,796 
 136,914   *,e  Workday, Inc   13,281 
 75,754   *  Workiva, Inc   1,443 
 26,381   *,g  Worldline S.A.   904 
 2,182,321   g  Worldpay Group plc   8,948 
 51,226   *  Xactly Corp   802 
 55,174   *  Xero Ltd   1,019 
 5,747      XING AG.   1,534 
 142,711   *  XO Group, Inc   2,515 
 16,700   *,e  Xunlei Ltd (ADR)   54 
 5,459,000      Xurpas, Inc   916 
 1,248,038      Yahoo! Japan Corp   5,426 
 449,242   *  Yelp, Inc   13,486 
 23,815   *,e  Yext, Inc   317 
 8,154   *,e  Yirendai Ltd (ADR)   204 
 184,900   *  YY, Inc (ADR)   10,730 
 332,250   *  Zendesk, Inc   9,230 
 8,826      Zensar Technologies Ltd   111 
 10,900   *  ZIGExN Co Ltd   159 
 102,789   *  Zillow Group, Inc   5,020 
 207,036   *,e  Zillow Group, Inc (Class C)   10,147 
 261,075   *  Zix Corp   1,486 
 1,214,856   g  ZPG plc   5,742 
 2,124,269   *  Zynga, Inc   7,732 
        TOTAL SOFTWARE & SERVICES   12,792,299 
        
TECHNOLOGY HARDWARE & EQUIPMENT - 4.6%
 241,884   *,e  3D Systems Corp   4,523 
 1,101,922   e  AAC Technologies Holdings, Inc   13,764 
 48,446   *  accesso Technology Group plc   1,103 
 2,520,292      Accton Technology Corp   6,422 
 2,479,762      Acer, Inc   1,299 
 92,492      Adlink Technology, Inc   187 
 124,613      Adtran, Inc   2,573 
 31,076   *,e  ADVA AG. Optical Networking   321 
 32,000      Advanced Ceramic X Corp   389 
 336,130      Advantech Co Ltd   2,380 
 151,603   *,e  Aerohive Networks, Inc   758 
 35,581   *  Agilysys, Inc   360 
 26,400   e  Ai Holdings Corp   711 
 17,277   *,e  Akoustis Technologies, Inc   151 
 228,400      Alpha Networks, Inc   209 
 347,600      Alps Electric Co Ltd   10,097 
 3,632      ALSO Holding AG.   466 
150

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 41,000      Amano Corp  $856 
 635,025      Amphenol Corp (Class A)   46,878 
 693,805   *  Anixter International, Inc   54,256 
 92,300      Anritsu Corp   834 
 2,796,000   *,e,m  Anxin-China Holdings Ltd   4 
 16,228,502   l,n  Apple, Inc   2,337,229 
 39,509   *,e  Applied Optoelectronics, Inc   2,441 
 98,000      Arcadyan Technology Corp   165 
 171,531   *  Arista Networks, Inc   25,694 
 677,572   *  ARRIS International plc   18,986 
 201,536   *  Arrow Electronics, Inc   15,804 
 24,348      Ascom Holding AG.   498 
 170,000   *  Asia Optical Co, Inc   303 
 2,042,464      Asia Vital Components Co Ltd   1,789 
 1,790,044      Asustek Computer, Inc   16,907 
 70,000      Aten International Co Ltd   193 
 8,390,893      AU Optronics Corp   3,830 
 244,000      Aurora Corp   475 
 35,481   e  Austria Technologie & Systemtechnik AG.   398 
 64,580   *  Avid Technology, Inc   340 
 23,043   *,e  Avigilon Corp   256 
 236,701      Avnet, Inc   9,203 
 89,968      AVX Corp   1,470 
 55,246   e  Badger Meter, Inc   2,202 
 19,366      Barco NV   1,988 
 18,979      Bel Fuse, Inc (Class B)   469 
 83,336      Belden CDT, Inc   6,286 
 177,153   *  Benchmark Electronics, Inc   5,722 
 12,408,000      Benq Corp   9,475 
 416,882   *  Blackberry Ltd (New)   4,166 
 1,028,636      Brocade Communications Systems, Inc   12,971 
 593,159      Brother Industries Ltd   13,739 
 3,318,000      BYD Electronic International Co Ltd   6,577 
 69,525   *  CalAmp Corp   1,413 
 6,040,815      CalComp Electronics Thailand PCL   533 
 114,032   *  Calix, Inc   781 
 69,700      Canon Electronics, Inc   1,428 
 1,176,282      Canon, Inc   40,012 
 88,000      Casetek Holdings Ltd   295 
 31,376   *,e  Catapult Group International Ltd   56 
 2,522,857      Catcher Technology Co Ltd   30,068 
 194,000      Catic Shenzhen Holdings Ltd   96 
 605,768      CDW Corp   37,879 
 359,160   *  Celestica, Inc   4,880 
 40,000      Chaun-Choung Technology Corp   170 
 306,602      Cheng Uei Precision Industry Co Ltd   421 
 695,162      Chicony Electronics Co Ltd   1,761 
 243,663      Chimei Materials Technology Corp   116 
 5,432,000      China Aerospace International Holdings Ltd   689 
 1,332,000   *,e  China All Access Holdings Ltd   379 
 489,600   *,m  China Fiber Optic Network System Group Ltd   1 
 2,948,000   *,e  China Innovationpay Group Ltd   189 
 179,000      Chin-Poon Industrial Co   365 
 247,840      Chroma ATE, Inc   798 
 9,000      Chunghwa Precision Test Tech Co Ltd   384 
 4,302,021   *  Ciena Corp   107,637 
151

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 17,825,947   n  Cisco Systems, Inc  $557,952 
 712,054      Citizen Watch Co Ltd   5,010 
 25,329   *,e  Clearfield, Inc   334 
 352,393      Clevo Co   316 
 1,475,394   *  CMC Magnetics Corp   193 
 355,359      Cognex Corp   30,170 
 50,867   *  Coherent, Inc   11,445 
 1,065,089      Comba Telecom Systems Holdings Ltd   143 
 4,963      Comet Holding AG.   620 
 665,753   *  CommScope Holding Co, Inc   25,319 
 3,851,688      Compal Electronics, Inc   2,595 
 4,630,000      Compeq Manufacturing Co   3,769 
 45,372      Comtech Telecommunications Corp   861 
 32,000   *  Concraft Holding Co Ltd   154 
 103,634   *  Control4 Corp   2,032 
 2,615,399   *,e,m  Coolpad Group Ltd   181 
 1,010,000      Coretronic Corp   1,382 
 2,415,991      Corning, Inc   72,601 
 44,072   e  CPI Card Group, Inc   126 
 79,430   *  Cray, Inc   1,462 
 9,438   *  CrucialTec Co Ltd   31 
 62,783      CTS Corp   1,356 
 153,192      Daeduck Electronics Co   1,480 
 85,365      Daeduck GDS Co Ltd   1,407 
 1,121,000      Daiwabo Co Ltd   3,907 
 71,599      Daktronics, Inc   690 
 14,566      Datalogic S.p.A.   392 
 144,730      DataTec Ltd   667 
 353,700      Delta Electronics Thai PCL   901 
 1,834,988      Delta Electronics, Inc   10,038 
 112,000      Denki Kogyo Co Ltd   577 
 32,000   e  Dexerials Corp   313 
 149,834   e  Diebold, Inc   4,195 
 109,566   *  Digi International, Inc   1,112 
 368,000   *,e  Digital China Holdings Ltd   283 
 489,421      D-Link Corp   191 
 164,137      Dolby Laboratories, Inc (Class A)   8,036 
 209,600      Eastern Communications Co Ltd   129 
 32,826   *,e  Eastman Kodak Co   299 
 124,697   *  EchoStar Corp (Class A)   7,569 
 44,000   *  Egis Technology, Inc   301 
 62,171      Eizo Nanao Corp   2,449 
 53,600      Elecom Co Ltd   1,087 
 63,335   *  Electro Scientific Industries, Inc   522 
 1,325,386      Electrocomponents plc   9,969 
 91,868   *  Electronics for Imaging, Inc   4,353 
 4,900      Elematec Corp   80 
 265,654      Elite Material Co Ltd   1,287 
 229,390      Elitegroup Computer Systems Co Ltd   155 
 52,323      EMCORE Corp   557 
 29,822      Ennoconn Corp   378 
 18,800      Enplas Corp   580 
 25,881   *  ePlus, Inc   1,918 
 2,485,915      Ericsson (LM) (B Shares)   17,874 
 126,877      Esprinet S.p.A.   916 
 59,695      Evertz Technologies Ltd   819 
152

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 38,923      EVS Broadcast Equipment S.A.  $1,565 
 1,054,687   *  Extreme Networks, Inc   9,724 
 331,410   *  F5 Networks, Inc   42,109 
 71,777   *  Fabrinet   3,062 
 35,430   *  FARO Technologies, Inc   1,339 
 894,148   e  Fingerprint Cards AB   3,259 
 443,642   *  Finisar Corp   11,526 
 137,546      Firich Enterprises Co Ltd   203 
 344,104   *,e  Fitbit, Inc   1,827 
 1,121,884      FLEXium Interconnect, Inc   4,218 
 1,538,550   *  Flextronics International Ltd   25,094 
 423,255      Flir Systems, Inc   14,670 
 87,310      Flytech Technology Co Ltd   285 
 1,241,868      Foxconn Technology Co Ltd   3,746 
 848,563      Fujifilm Holdings Corp   30,597 
 82,800      Fujitsu Frontech Ltd   1,319 
 70,286      Gemalto NV   4,216 
 1,113,000      General Interface Solution Holding Ltd   8,231 
 42,000   *  Genius Electronic Optical Co Ltd   424 
 2,515,000      Getac Technology Corp   3,346 
 1,345,000      Gigabyte Technology Co Ltd   1,812 
 804,000   e  Goldpac Group Ltd   242 
 4,148      Green Cross Cell Corp   122 
 297,054      Halma plc   4,257 
 78,200      Hamamatsu Photonics KK   2,410 
 4,981,330   *  HannStar Display Corp   1,494 
 157,586   *,e  Harmonic, Inc   827 
 319,876      Harris Corp   34,892 
 3,529,336      Hewlett Packard Enterprise Co   58,552 
 92,505   e  Hexagon AB (B Shares)   4,395 
 651,799   *  High Tech Computer Corp   1,554 
 46,100      Hirose Electric Co Ltd   6,597 
 660,979      Hitachi High-Technologies Corp   25,740 
 41,200   e  Hitachi Kokusai Electric, Inc   962 
 17,221,525      Hitachi Ltd   106,183 
 314,800      Hitachi Maxell Ltd   6,454 
 336,100      Holystone Enterprise Co Ltd   461 
 19,756   *,e  Homecast Co Ltd   160 
 36,404,087   *  Hon Hai Precision Industry Co, Ltd   139,937 
 28,295      Horiba Ltd   1,726 
 46,200      Hosiden Corp   531 
 2,864,023      HP, Inc   50,063 
 11,888      Humax Co Ltd   121 
 201,500      Ibiden Co Ltd   3,485 
 7,400      Icom, Inc   166 
 160,476      ICP Electronics, Inc   248 
 279,756   *,e  IDEX ASA   267 
 120,018   *  II-VI, Inc   4,117 
 11,671      Iljin Materials Co Ltd   326 
 78,124   *,e  Immersion Corp   709 
 734,880      Inari Amertron BHD   361 
 7,265      Inficon Holding AG.   3,590 
 656,241   *,e  Infinera Corp   7,002 
 47,521      Ingenico   4,310 
 8,376,219      InnoLux Display Corp   4,373 
 230,518   *  Insight Enterprises, Inc   9,218 
153

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 146,784      InterDigital, Inc  $11,346 
 6,643   *  Interflex Co Ltd   229 
 38,325   *  Intevac, Inc   425 
 2,316,535      Inventec Co Ltd   1,887 
 56,732   *  IPG Photonics Corp   8,232 
 6,400      Iriso Electronics Co Ltd   516 
 2,637      Isra Vision AG.   449 
 57,100      ITC Networks Corp   983 
 727,357      ITEQ Corp   1,057 
 46,863   *  Iteris, Inc   292 
 217,085   *  Itron, Inc   14,708 
 37,232      Ituran Location and Control Ltd   1,165 
 668,816      Jabil Circuit, Inc   19,523 
 43,000      Japan Aviation Electronics Industry Ltd   597 
 8,300   e  Japan Cash Machine Co Ltd   86 
 956,300   *,e  Japan Display, Inc   1,814 
 37,307      Japan Radio Co Ltd   479 
 561,600      JCY International BHD   76 
 108,691      Jenoptik AG.   2,857 
 2,877,125      Ju Teng International Holdings Ltd   1,179 
 1,808,789      Juniper Networks, Inc   50,429 
 41,800      Kaga Electronics Co Ltd   858 
 17,128      Kapsch TrafficCom AG.   916 
 56,600      KCE Electronics PCL   181 
 266,894   *  Kemet Corp   3,416 
 20,000      Keyence Corp   8,805 
 562,054   *  Keysight Technologies, Inc   21,881 
 54,385   *  Kimball Electronics, Inc   982 
 3,161,500      Kingboard Chemical Holdings Ltd   12,585 
 668,500      Kingboard Laminates Holdings Ltd   806 
 16,411      Kingpak Technology, Inc   112 
 174,274   *  Knowles Corp   2,949 
 123,800      Koa Corp   2,299 
 866,025      Konica Minolta Holdings, Inc   7,225 
 117,777      Kudelski S.A.   2,010 
 31,573   *  KVH Industries, Inc   300 
 343,310      Kyocera Corp   19,953 
 493,979      Laird Group plc   891 
 140,892      Largan Precision Co Ltd   22,432 
 7,118,753      Lenovo Group Ltd   4,493 
 12,921      LG Innotek Co Ltd   1,864 
 213,182      LG.Philips LCD Co Ltd   6,895 
 3,761,295      Lite-On Technology Corp   6,174 
 64,784      Littelfuse, Inc   10,689 
 397,882      Logitech International S.A.   14,641 
 30,000      Lotes Co Ltd   131 
 1,342,983   *  Lumentum Holdings, Inc   76,617 
 188,700      Macnica Fuji Electronics Holdings, Inc   2,765 
 123,300      Marubun Corp   864 
 6,800      Maruwa Co Ltd   281 
 70,834   *  Maxwell Technologies, Inc   424 
 68,800      Mcj Co Ltd   726 
 4,800      Melco Holdings, Inc   137 
 111,076      Merry Electronics Co Ltd   689 
 6,297      Mesa Laboratories, Inc   902 
 194,478      Methode Electronics, Inc   8,013 
154

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 220,258   e  Micronic Laser Systems AB  $2,007 
 646,000      Micro-Star International Co Ltd   1,500 
 134,645   *,e  Microvision, Inc   285 
 2,917,082      Mitac Holdings Corp   3,723 
 544,217      Motorola, Inc   47,205 
 32,885      MTS Systems Corp   1,703 
 249,715      Murata Manufacturing Co Ltd   38,123 
 153,000      Nan Ya Printed Circuit Board Corp   129 
 132,000      Nanjing Panda Electronics   72 
 23,149   *  Napco Security Technologies, Inc   218 
 367,730      National Instruments Corp   14,790 
 289,065   *  NCR Corp   11,805 
 1,688,270      NEC Corp   4,488 
 100,973      Neopost S.A.   4,689 
 557,737      NetApp, Inc   22,337 
 109,831   *  Netgear, Inc   4,734 
 175,903   *  Netscout Systems, Inc   6,051 
 31,826      Nichicon Corp   343 
 52,400      Nippon Ceramic Co Ltd   1,224 
 246,000   *  Nippon Chemi-Con Corp   893 
 51,005      Nippon Electric Glass Co Ltd   1,861 
 33,900      Nippon Signal Co Ltd   313 
 20,660   e  Nissha Printing Co Ltd   574 
 13,800   e  Nohmi Bosai Ltd   199 
 1,986,928      Nokia Corp   12,239 
 8,498,641      Nokia Oyj (Turquoise)   52,111 
 113,767   *  Novanta, Inc   4,096 
 700,247   *,e  Oclaro, Inc   6,540 
 57,000      Oki Electric Industry Co Ltd   810 
 631,056      Omron Corp   27,469 
 229,000   *,e  O-Net Communications Group   121 
 9,500   e  Optex Co Ltd   308 
 30,396   *  Orbotech Ltd   992 
 277,000      Osaki Electric Co Ltd   2,074 
 34,265   *  OSI Systems, Inc   2,575 
 64,408      Oxford Instruments plc   879 
 115,892   *,n  Palo Alto Networks, Inc   15,508 
 261,224      Pan-International Industrial   239 
 38,543      Park Electrochemical Corp   710 
 12,206   *,e  Parrot S.A.   131 
 31,014      Partron Co Ltd   282 
 2,147,000   e  PAX Global Technology Ltd   1,378 
 55,389      PC Connection, Inc   1,499 
 19,576   *,e  PC Mall, Inc   367 
 1,801,917      Pegatron Technology Corp   5,637 
 127,654      Plantronics, Inc   6,678 
 66,489   *  Plexus Corp   3,495 
 10,959      Posiflex Technology, Inc   59 
 1,611,000      Primax Electronics Ltd   3,301 
 503,000      Prime View International Co Ltd   468 
 718,514   *,e  Pure Storage, Inc   9,204 
 2,531,338      Quanta Computer, Inc   5,988 
 41,622   *,e  Quantenna Communications, Inc   791 
 75,784   *  Quantum Corp   592 
 82,335   *  Radisys Corp   310 
 28,913   *  Radware Ltd   507 
155

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 511,022      Redington India Ltd  $1,035 
 66,647      Renishaw plc   3,143 
 177,733      Ricoh Co Ltd   1,574 
 9,879   m  RICOH INDIA Ltd   30 
 16,100      Riso Kagaku Corp   315 
 1,308,062   *  Ritek Corp   227 
 82,639   *  Rogers Corp   8,976 
 8,100      Roland DG Corp   185 
 21,400      Ryosan Co Ltd   783 
 12,800      Ryoyo Electro Corp   205 
 27,057   e  S&T AG.   408 
 309,500      Samart Corp PCL   132 
 51,463      Samsung Electro-Mechanics Co Ltd   4,594 
 51,601      Samsung SDI Co Ltd   7,747 
 312,609   e  Sandvine Corp   1,034 
 326,217   *  Sanmina Corp   12,429 
 113,949   *  Scansource, Inc   4,592 
 4,225      Seagate Technology, Inc   164 
 77,800      Seiko Epson Corp   1,736 
 708,000      Sercomm Corp   1,837 
 14,462      SFA Engineering Corp   569 
 205,376      Shimadzu Corp   3,913 
 538,707   *  ShoreTel, Inc   3,125 
 49,259   *,e  Sierra Wireless, Inc   1,383 
 11,000   e  Siix Corp   437 
 5,800      Silicom Ltd   257 
 648,000      Simplo Technology Co Ltd   2,205 
 157,123      Sinbon Electronics Co Ltd   371 
 3,750      Sindoh Co Ltd   185 
 50,860      Smart Metering Systems plc   349 
 124,000      SMK Corp   476 
 209,136   *  Sonus Networks, Inc   1,556 
 93,195      Spectris plc   3,064 
 1,750      Spigen Korea Co Ltd   63 
 40,494   *,m  Sterlite Power Transmission Ltd   70 
 73,443      Sterlite Technologies Ltd   166 
 242,177   *,e  Stratasys Ltd   5,645 
 771,000      Sunny Optical Technology Group Co Ltd   6,904 
 76,910   *  Super Micro Computer, Inc   1,896 
 134,270   *,e  Synaptics, Inc   6,943 
 147,774      SYNNEX Corp   17,727 
 1,368,238      Synnex Technology International Corp   1,533 
 45,529      Systemax, Inc   856 
 436,359      Taiwan PCB Techvest Co Ltd   449 
 153,000   *  Taiwan Union Technology Corp   280 
 211,203      Taiyo Yuden Co Ltd   3,337 
 103,890      TDK Corp   6,867 
 204,874      TE Connectivity Ltd   16,119 
 188,425   *  Tech Data Corp   19,031 
 372,000   e  Technovator International Ltd   122 
 232,616   e  Telit Communications plc   945 
 131,495      Test Research, Inc   163 
 563,014   *  Thin Film Electronics ASA   270 
 45,134   *,e  Tobii AB   211 
 106,625      Tong Hsing Electronic Industries Ltd   443 
 21,550,000   e  Tongda Group Holdings Ltd   6,429 
156

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 80,000      Topcon Corp  $1,382 
 477,000   *  Toshiba TEC Corp   2,470 
 54,100      Toyo Corp/Chuo-ku   522 
 193,000   *  TPK Holding Co Ltd   591 
 678,000      Tpv Technology Ltd   149 
 677,100      Transcend Information, Inc   2,269 
 532,000      Trigiant Group Ltd   79 
 914,289   *  Trimble Navigation Ltd   32,613 
 1,453,832      Tripod Technology Corp   4,631 
 1,500,000   e  Truly International Holdings   518 
 18,800      TSC Auto ID Technology Co Ltd   136 
 484,710   *  TTM Technologies, Inc   8,415 
 117,039      TXC Corp   173 
 46,018   *,e  Ubiquiti Networks, Inc   2,392 
 941,883      Unimicron Technology Corp   546 
 182,460      Universal Display Corp   19,934 
 77,432   *,e  USA Technologies, Inc   403 
 3,400   e  V Technology Co Ltd   587 
 1,005,195      Venture Corp Ltd   8,799 
 246,970   *  VeriFone Systems, Inc   4,470 
 105,072   *,e  Viasat, Inc   6,956 
 1,477,917   *  Viavi Solutions, Inc   15,562 
 266,339      Vishay Intertechnology, Inc   4,421 
 29,277   *  Vishay Precision Group, Inc   507 
 3,283,000      VS Industry Bhd   1,582 
 1,070,800      VST Holdings Ltd   325 
 237,000      Vtech Holdings Ltd   3,754 
 96,600   e  Wacom Co Ltd   310 
 1,306,000      Wah Lee Industrial Corp   2,181 
 1,707,140      Walsin Technology Corp   3,065 
 336,000   e  Wasion Group Holdings Ltd   155 
 986,183      Western Digital Corp   87,376 
 26,925      Wincor Nixdorf AG.   2,217 
 190,500   *,b,m  Wintek Corp   0^
 8,093,495      Wistron Corp   8,227 
 152,520      Wistron NeWeb Corp   454 
 5,496,000   e  World Wide Touch Technology Ho   359 
 3,096,732      WPG Holdings Co Ltd   4,131 
 1,517,848      WT Microelectronics Co Ltd   2,247 
 2,329,895      Xerox Corp   66,938 
 15,750   *,m  Ya Hsin Industrial Co Ltd    0 
 236,993      Yageo Corp   826 
 49,993      Yamatake Corp   1,903 
 505,500   e,g  Yangtze Optical Fibre and Cable Joint Stock Ltd   1,073 
 58,838      Yaskawa Electric Corp   1,253 
 70,084      Yokogawa Electric Corp   1,128 
 158,500   *  Zebra Technologies Corp (Class A)   15,932 
 391,405      Zhen Ding Technology Holding Ltd   927 
 226,000      Zinwell Corp   231 
 752,938      ZTE Corp   1,796 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   5,532,654 
        
TELECOMMUNICATION SERVICES - 2.4%
 6,038      012 Smile.Communications Ltd   105 
 1,435,289      Advanced Info Service PCL (Foreign)   7,494 
 343,088      AFK Sistema (GDR)   1,434 
157

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 46,875,484      America Movil S.A. de C.V. (Series L)  $37,710 
 269,750      APT Satellite Holdings Ltd   142 
 1,130,836   *  Asia Pacific Telecom Co Ltd   407 
 19,538,088      AT&T, Inc   737,172 
 39,560      ATN International, Inc   2,707 
 631,900   *,e  Axtel SAB de C.V.   131 
 937,134      BCE, Inc   42,203 
 9,306,145      Bezeq Israeli Telecommunication Corp Ltd   15,437 
 1,363,397      Bharti Airtel Ltd   8,006 
 880,403      Bharti Infratel Ltd   5,100 
 331,497   *  Boingo Wireless, Inc   4,959 
 7,739,966      BT Group plc   29,762 
 46,420   *  Cellcom Israel Ltd   446 
 100,696   g  Cellnex Telecom SAU   2,081 
 1,369,590   e  CenturyLink, Inc   32,706 
 2,497,371      China Communications Services Corp Ltd   1,439 
 8,430,399      China Mobile Hong Kong Ltd   89,377 
 16,010,457      China Telecom Corp Ltd   7,603 
 7,789,681      China Unicom Ltd   11,563 
 1,050,640      Chorus Ltd   3,565 
 3,637,988      Chunghwa Telecom Co Ltd   12,906 
 124,894   *  Cincinnati Bell, Inc   2,442 
 4,719,000      Citic 1616 Holdings Ltd   1,511 
 82,347      Cogent Communications Group, Inc   3,302 
 282,347      Com Hem Holding AB   3,921 
 98,922   e  Consolidated Communications Holdings, Inc   2,124 
 6,035,978      Deutsche Telekom AG.   108,798 
 3,284,439      Digi.Com BHD   3,826 
 12,905      Digital Multimedia Technologies S.p.A.   747 
 143,427      DNA Oyj   2,277 
 29,912      Drillisch AG.   1,804 
 53,001      Elisa Oyj (Series A)   2,056 
 1,731,638      Emirates Telecommunications Group Co PJSC   8,156 
 138,294      Empresa Nacional de Telecomunicaciones S.A.   1,507 
 77,675   g  Euskaltel S.A.   829 
 48,583   *  Fairpoint Communications, Inc   760 
 1,547,236      Far EasTone Telecommunications Co Ltd   3,941 
 2,298,957   e  France Telecom S.A.   36,588 
 138,077   e  Freenet AG.   4,405 
 2,678,283   e  Frontier Communications Corp   3,107 
 80,252   *  General Communication, Inc (Class A)   2,940 
 1,503,769   *,e  Globalstar, Inc   3,203 
 28,971      Globe Telecom, Inc   1,176 
 16,512   *  Hawaiian Telcom Holdco, Inc   413 
 255,053      Hellenic Telecommunications Organization S.A.   3,070 
 305,763   *  Himachal Futuristic Communications   56 
 1,109,000      HKBN Ltd   1,110 
 3,024,127      HKT Trust and HKT Ltd   3,966 
 1,466,651   e  Hutchison Telecommunications Hong Kong Holdings Ltd   516 
 3,541,283      Idea Cellular Ltd   4,667 
 34,743      IDT Corp (Class B)   499 
 26,502      Iliad S.A.   6,263 
 198,503   g  Infrastrutture Wireless Italiane S.p.A   1,128 
 203,773      Inmarsat plc   2,044 
 71,159   *,e  Intelsat S.A.   218 
 163,975   *,e  Iridium Communications, Inc   1,812 
158

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 75,300   *,e  Japan Communications, Inc  $111 
 1,548,200      Jasmine International PCL   371 
 1,132,598      Kcom Group plc   1,313 
 1,301,552      KDDI Corp   34,423 
 19,616      KT Corp   559 
 248,674   *,e,m  Let’s GOWEX S.A.   3 
 752,062   *  Level 3 Communications, Inc   44,597 
 312,965      LG Telecom Ltd   4,268 
 42,481   *  Lumos Networks Corp   759 
 1,238,237      Magyar Telekom   2,162 
 5,346,090      Maxis BHD   6,912 
 18,280      MegaFon OAO (GDR)   167 
 12,688      Millicom International Cellular S.A.   750 
 959,418      Mobile TeleSystems (ADR)   8,040 
 990,009   e  MobileOne Ltd   1,567 
 73,824      Mobistar S.A.   1,729 
 1,815,636      MTN Group Ltd   15,828 
 493,433      Netia S.A.   550 
 1,128,733      Nippon Telegraph & Telephone Corp   53,281 
 2,524,045      NTT DoCoMo, Inc   59,695 
 2,907      Numericable-SFR  SAS   98 
 33,764   *  Ooma, Inc   270 
 173,627      Ooredoo QSC   4,359 
 1,901,719   *  Orascom Telecom Holding SAE   728 
 33,302,238      Orascom Telecom Media And Technology Holding SAE   1,231 
 129,696   *  Orbcomm, Inc   1,466 
 218,353   *  Partner Communications   1,158 
 8,517,842      PCCW Ltd   4,841 
 19,565   *,e  pdvWireless, Inc   456 
 85,757      PLDT, Inc   3,052 
 79,945      Proximus plc   2,798 
 3,407,611   *  PT Excelcomindo Pratama   872 
 771,500      PT Link Net Tbk   300 
 71,484,424      PT Telekomunikasi Indonesia Persero Tbk   24,275 
 660,435   *  Reliance Communication Ventures Ltd   220 
 920,426      Rogers Communications, Inc (Class B)   43,473 
 164,625      Rostelecom (ADR)   1,195 
 4,195,968      Royal KPN NV   13,429 
 112,399   *  Sejong Telecom, Inc   78 
 91,633      Shenandoah Telecom Co   2,813 
 16,196,763      Singapore Telecommunications Ltd   45,741 
 98,616      SK Telecom Co Ltd   22,927 
 403,377      SmarTone Telecommunications Holding Ltd   528 
 1,169,736      Softbank Corp   95,088 
 143,002      SpeedCast International Ltd   420 
 40,891      Spok Holdings, Inc   724 
 1,547,670   *,e  Sprint Corp   12,706 
 450,340   e  StarHub Ltd   890 
 17,010   *,e  Straight Path Communications, Inc   3,056 
 104,979   g  Sunrise Communications Group AG.   8,277 
 10,731      Swisscom AG.   5,186 
 1,550,942      Taiwan Mobile Co Ltd   5,838 
 512,580   e  TalkTalk Telecom Group plc   1,205 
 110,859      Tata Communications Ltd   1,239 
 540,395      TDC AS   3,143 
 453,149      Tele2 AB (B Shares)   4,749 
159

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,327,474      Telecom Corp of New Zealand Ltd  $9,220 
 333,413      Telecom Egypt   189 
 23,658,680      Telecom Italia RSP   17,508 
 12,147,119   *  Telecom Italia S.p.A.   11,238 
 796,799      Telefonica Brasil S.A.   10,799 
 614,865      Telefonica Deutschland Holding AG.   3,075 
 156,105      Telefonica O2 Czech Republic AS   1,852 
 3,433,602      Telefonica S.A.   35,543 
 397,829      Telekom Austria AG.   3,133 
 232,883      Telekom Malaysia BHD   361 
 562,778      Telekomunikacja Polska S.A.   779 
 512,385      Telenor ASA   8,501 
 842,276   e  Telephone & Data Systems, Inc   23,373 
 982,001   *,e  Telesites SAB de C.V.   721 
 1,659,449      TeliaSonera AB   7,648 
 1,648,504   e  Telkom S.A. Ltd   7,756 
 7,193,528      Telstra Corp Ltd   23,768 
 390,611      TELUS Corp   13,485 
 177,300      Thaicom PCL   84 
 1,166,684      Tim Participacoes S.A.   3,448 
 300,220      Time dotCom BHD   678 
 2,524,389      TM International BHD   2,840 
 2,068,975   *  T-Mobile US, Inc   125,421 
 2,328,183      Tower Bersama Infrastructure   1,181 
 513,444   e  TPG Telecom Ltd   2,249 
 12,793,216      True Corp PCL   2,333 
 343,798      Turk Telekomunikasyon AS   610 
 1,086,482      Turkcell Iletisim Hizmet AS   3,574 
 43,787   *  US Cellular Corp   1,678 
 12,045,251      Verizon Communications, Inc   537,941 
 393,810   e  Vocus Communications Ltd   1,020 
 741,145   e  Vodacom Group Pty Ltd   9,313 
 50,894,825      Vodafone Group plc   144,539 
 52,560      Vodafone Group plc (ADR)   1,510 
 251,388   *  Vodafone Qatar   587 
 909,124   *  Vonage Holdings Corp   5,946 
 727,256   e  Windstream Holdings, Inc   2,822 
 365,035   *  Zayo Group Holdings, Inc   11,280 
        TOTAL TELECOMMUNICATION SERVICES   2,873,554 
        
TRANSPORTATION - 2.3%
 620,906   e  Abertis Infraestructuras S.A. (Continuous)   11,509 
 68,634      Aegean Airlines S.A.   651 
 117,688   g  Aena S.A.   22,981 
 28,587      Aeroports de Paris   4,608 
 5,338,742      Air Arabia PJSC   1,479 
 134,500   *  Air Canada   1,803 
 1,925,225      Air China Ltd   1,984 
 188,853   *  Air France-KLM   2,696 
 2,681,871      Air New Zealand Ltd   6,408 
 159,084   *  Air Transport Services Group, Inc   3,465 
 1,392,158      AirAsia BHD   1,054 
 9,769,525   *  AirAsia X BHD   933 
 4,883,600      Airports of Thailand PCL   6,786 
 546,497      Alaska Air Group, Inc   49,054 
 1,064,437   *,e  ALD S.A.   16,717 
160

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 913,459      All Nippon Airways Co Ltd  $3,181 
 14,729      Allcargo Logistics Ltd   39 
 26,005      Allegiant Travel Co   3,526 
 12,392      Amerco, Inc   4,536 
 1,176,241      American Airlines Group, Inc   59,188 
 634,771   *,b,m  AMR Corp (Escrow)   6 
 338,000   e  Anhui Expressway Co   253 
 4,893      AP Moller - Maersk AS (Class A)   9,336 
 5,732      AP Moller - Maersk AS (Class B)   11,541 
 142,854      Arkansas Best Corp   2,943 
 80,782   *  Asiana Airlines   433 
 46,361   *  Atlas Air Worldwide Holdings, Inc   2,418 
 967,858      Auckland International Airport Ltd   5,057 
 102,264      Autostrada Torino-Milano S.p.A.   1,767 
 491,528      Autostrade S.p.A.   13,826 
 887,491      Avianca Holdings S.A.   719 
 239,081   *,e  Avis Budget Group, Inc   6,520 
 648,200      Bangkok Airways Co Ltd   351 
 135,150      Bangkok Aviation Fuel Services PCL   185 
 7,276,353      Bangkok Expressway & Metro PCL   1,595 
 688,186      BBA Aviation plc   2,755 
 1,524,097      Beijing Capital International Airport Co Ltd   2,147 
 392,600      Blue Bird Tbk PT   142 
 6,072      Blue Dart Express Ltd   442 
 706,228      Bollore   3,211 
 327,632      bpost S.A.   7,913 
 6,463,227      BTS Group Holdings PCL (Foreign)   1,616 
 1,061,937      Canadian National Railway Co   86,164 
 207,803   e  Canadian Pacific Railway Ltd (Toronto)   33,435 
 487,660   e  Cathay Pacific Airways Ltd   757 
 689,390      Cebu Air, Inc   1,337 
 102,169      Central Japan Railway Co   16,686 
 101,333      CH Robinson Worldwide, Inc   6,960 
 1,568,335      China Airlines   476 
 1,277,093   e  China Merchants Holdings International Co Ltd   3,541 
 2,011,500      China Southern Airlines Co Ltd   1,700 
 92,473      Chorus Aviation, Inc   543 
 46,000      Chu Kong Shipping Development   11 
 1,235,799      Cia de Concessoes Rodoviarias   6,304 
 111,180      Cia de Distribucion Integral Logista Holdings SAU   2,926 
 1,619,710      ComfortDelgro Corp Ltd   2,705 
 8,462,793   *  Compania SudAmericana de Vapores S.A.   320 
 42,651      Container Corp Of India Ltd   756 
 453,800   *,e  Controladora Vuela Cia de Aviacion SAB de C.V.   664 
 123,046      Copa Holdings S.A. (Class A)   14,396 
 84,100   *  Cosan Logistica S.A.   167 
 584,000      Cosco International Holdings Ltd   233 
 1,596,657      COSCO Pacific Ltd   1,873 
 219,118      Costamare, Inc   1,602 
 23,858   *  Covenant Transportation Group, Inc   418 
 2,998,052      CSX Corp   163,574 
 96,109      CTT-Correios de Portugal S.A.   608 
 18,373   *  D/S Norden   334 
 510,445      Dart Group plc   4,092 
 46,872   *  Daseke, Inc   522 
 546,275      Dazhong Transportation Group Co Ltd   379 
161

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,368,168      Delta Air Lines, Inc  $127,265 
 869,450      Deutsche Lufthansa AG.   19,814 
 1,134,935      Deutsche Post AG.   42,604 
 53,335      Dfds A.S.   2,843 
 352,628      DP World Ltd   7,377 
 874,523      DSV AS   53,717 
 97,312   *,e  Eagle Bulk Shipping, Inc   460 
 649,950      East Japan Railway Co   62,263 
 987,492      easyJet plc   17,494 
 56,828   *  Echo Global Logistics, Inc   1,131 
 173,600      EcoRodovias Infraestrutura e Logistica S.A.   542 
 15,300   *,e  eHi Car Services Ltd (ADR)   153 
 1,765,400      El Al Israel Airlines   1,623 
 867,906      Enav S.p.A   3,743 
 112,556   g  Europcar Groupe S.A.   1,649 
 887,584      Eva Airways Corp   439 
 61,000      Evergreen International Storage & Transport Corp   28 
 1,574,055   *  Evergreen Marine Corp Tawain Ltd   799 
 4,235   e  Exchange Income Corp   108 
 286,568      Expeditors International of Washington, Inc   16,185 
 987,738   n  FedEx Corp   214,665 
 147,227      Finnair Oyj   1,078 
 1,402,010   *  Firstgroup plc   2,298 
 46,919      Flughafen Zuerich AG.   11,523 
 110,390      Forward Air Corp   5,882 
 94,828      Fraport AG. Frankfurt Airport Services Worldwide   8,392 
 276,960      Freightways Ltd   1,555 
 104,000   e  Fukuyama Transporting Co Ltd   661 
 110,151      Gateway Distriparks Ltd   439 
 1,393,600      GD Express Carrier Bhd   203 
 53,606   *  Genco Shipping & Trading Ltd   508 
 339,359   *  Genesee & Wyoming, Inc (Class A)   23,209 
 61,003      GLOVIS Co Ltd   8,371 
 102,882      Go-Ahead Group plc   2,357 
 123,200   *  Gol Linhas Aereas Inteligentes S.A.   281 
 86,743   *,e  Golden Ocean Group Ltd   579 
 357,170      Grindrod Ltd   302 
 376,632      Groupe Eurotunnel S.A.   4,019 
 222,300   *,e  Grupo Aeromexico SAB de C.V.   459 
 490,100   e  Grupo Aeroportuario del Centro Norte Sab de C.V.   2,962 
 554,831      Grupo Aeroportuario del Pacifico S.A. de C.V. (B Shares)   6,249 
 346,150      Grupo Aeroportuario del Sureste S.A. de C.V. (Class B)   7,303 
 685,725      Guangdong Provincial Expressway Development Co Ltd   519 
 663,000      Guangdong Yueyun Transportation Co Ltd   440 
 180,194      Gujarat Pipavav Port Ltd   416 
 29,596      Gulf Warehousing Co   388 
 34,000      Hainan Meilan International Airport Co Ltd   28 
 85,052      Hamburger Hafen und Logistik AG.   1,862 
 32,103      Hanjin Kal Corp   744 
 6,256      Hanjin Transportation Co Ltd   201 
 382,825      Hankyu Hanshin Holdings, Inc   13,791 
 16,723   *,e  Hapag-Lloyd AG.   487 
 211,094   *  Hawaiian Holdings, Inc   9,911 
 132,523   e  Heartland Express, Inc   2,759 
 111,038   *,e  Hertz Global Holdings, Inc   1,277 
 167,600      Hitachi Transport System Ltd   3,952 
162

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,567,739   e  Hopewell Highway Infrastructure Ltd  $1,477 
 156,975   *  Hub Group, Inc (Class A)   6,020 
 5,318,113      Hutchison Port Holdings Trust   2,285 
 1,582   *  ID Logistics Group   248 
 233,557      Iino Kaiun Kaisha Ltd   1,004 
 575,281      International Consolidated Airlines Group S.A.   4,571 
 508,577      International Container Term Services, Inc   985 
 220,800      Irish Continental Group plc   1,281 
 193,494      J.B. Hunt Transport Services, Inc   17,682 
 618,787      Japan Airlines Co Ltd   19,167 
 31,700      Japan Airport Terminal Co Ltd   1,217 
 4,334      Jeju Air Co Ltd   147 
 365,575   *  Jet Airways India Ltd   3,188 
 1,089,919   *  JetBlue Airways Corp   24,883 
 3,229,834      Jiangsu Express   4,557 
 186,510      Jinzhou Port Co Ltd   98 
 43,800      Julio Simoes Logistica S.A.   93 
 580,587      Kamigumi Co Ltd   6,103 
 238,615      Kansas City Southern Industries, Inc   24,971 
 1,216,400   *,e  Kawasaki Kisen Kaisha Ltd   2,931 
 85,638      Keihin Electric Express Railway Co Ltd   1,033 
 432,586      Keio Corp   3,626 
 25,361      Keisei Electric Railway Co Ltd   679 
 2,356,047      Kerry Logistics Network Ltd   3,481 
 1,287,179      Kintetsu Corp   4,966 
 26,100      Kintetsu World Express, Inc   462 
 344,081   *  Kirby Corp   23,002 
 527,024   e  Knight Transportation, Inc   19,526 
 74,700      Konoike Transport Co Ltd   1,020 
 7,120   *  Korea Express Co Ltd   1,123 
 8,003   *  Korea Line Corp   257 
 39,892   *  Korean Air Lines Co Ltd   1,349 
 20,299      Kuehne & Nagel International AG.   3,394 
 119,500      Kyushu Railway Co   3,876 
 265,155      Lan Airlines S.A.   2,947 
 132,245      Landstar System, Inc   11,320 
 69,900      Lingkaran Trans Kota Holdings BHD   96 
 413,037   *  Localiza Rent A Car   5,629 
 1,010,163      Macquarie Atlas Roads Group   4,356 
 173,588      Macquarie Infrastructure Co LLC   13,609 
 765,106      Malaysia Airports Holdings BHD   1,526 
 45,892      Marten Transport Ltd   1,257 
 87,000      Maruzen Showa Unyu Co Ltd   365 
 199,926      Matson, Inc   6,006 
 2,860,656      MISC BHD   4,976 
 91,100      Mitsubishi Logistics Corp   1,216 
 474,212     Mitsui OSK Lines Ltd   1,400 
 65,610      Mitsui-Soko Co Ltd   180 
 322,000   *  Movida Participacoes S.A.   972 
 1,803,173      MTR Corp   10,147 
 1,072,765      Mundra Port and Special Economic Zone Ltd   6,023 
 680,055      Nagoya Railroad Co Ltd   3,173 
 1,058,400      Namyong Terminal PCL   213 
 560,000      Nankai Electric Railway Co Ltd   2,900 
 841,812      National Express Group plc   4,020 
 179,055   *,e  Navios Maritime Holdings, Inc   245 
163

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 783   *,g  Navkar Corp Ltd  $2 
 228,261      Nippon Express Co Ltd   1,432 
 123,000      Nippon Konpo Unyu Soko Co Ltd   2,853 
 2,192,084   *  Nippon Yusen Kabushiki Kaisha   4,098 
 248,000      Nishi-Nippon Railroad Co Ltd   1,117 
 140,000      Nissin Corp   679 
 266,511   g  Nobina AB   1,446 
 1,046,395      Norfolk Southern Corp   127,346 
 310,410      Northgate plc   1,791 
 20,518   *,e  Norwegian Air Shuttle AS   598 
 46,718      Odakyu Electric Railway Co Ltd   944 
 92,770      Oesterreichische Post AG.   4,030 
 457,353      OHL Mexico SAB de CV   660 
 140,163      Old Dominion Freight Line   13,349 
 149,000      Orient Overseas International Ltd   1,068 
 2,704,290   *  Pacific Basin Shipping Ltd   596 
 7,167      Panalpina Welttransport Holding AG.   1,012 
 16,863      Park-Ohio Holdings Corp   643 
 33,997   *  Pegasus Hava Tasimaciligi AS.   181 
 69,266   *  PKP Cargo S.A.   1,131 
 664,900      Pos Malaysia & Services Holdings BHD   820 
 511,950   *  Precious Shipping PCL   156 
 659,622      Promotora y Operadora de Infraestructura SAB de C.V.   7,860 
 60,700   *  Prumo Logistica S.A.   192 
 12,753,500   *,m  PT Berlian Laju Tanker Tbk    0^
 3,300,500   *  PT Garuda Indonesia Tbk   86 
 2,053,454      PT Jasa Marga Tbk   825 
 3,245,137      Qantas Airways Ltd   14,264 
 1,734,000   g  Qingdao Port International Co Ltd   996 
 592,000      Qinhuangdao Port Co Ltd   209 
 2,071,999      QR National Ltd   8,534 
 671,875   e  Qube Logistics Holdings Ltd   1,358 
 773,520   *  Radiant Logistics, Inc   4,162 
 597,813      Redde plc   1,261 
 91,582   *  Roadrunner Transportation Services Holdings, Inc   666 
 614,618      Royal Mail plc   3,372 
 1,236,300   *  Rumo S.A.   3,228 
 3,051   *  Ryanair Holdings plc   62 
 211,927   *  Ryanair Holdings plc (ADR)   22,806 
 46,841      Ryder System, Inc   3,372 
 94,100   *  Safe Bulkers, Inc   216 
 307,000      Sagami Railway Co Ltd   1,524 
 50,142   *  Saia, Inc   2,572 
 96   *,m  SAir Group    0 
 7,500   e  Sakai Moving Service Co Ltd   290 
 361,000      Sankyu, Inc   2,362 
 188,400      Santos Brasil Participacoes S.A.   116 
 63,817   *  SAS AB   139 
 80,481      Schneider National, Inc   1,800 
 113,554   *,e  Scorpio Bulkers, Inc   806 
 33,338   e  Seaspan Corp   238 
 160,181     Seino Holdings Corp   2,135 
 95,600      Senko Co Ltd   623 
 120,500      Shandong Airlines Co Ltd   245 
 122,800      Shanghai Jinjiang International Investment Holdings Co   172 
 51,900   *  Shenzhen Chiwan Petroleum   141 
164

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 101,600      Shenzhen Chiwan Wharf Holdings Ltd  $184 
 464,000      Shenzhen Expressway Co Ltd   422 
 1,121,886      Shenzhen International Holdings Ltd   2,056 
 389,000      Shinwa Kaiun Kaisha Ltd   785 
 90,819   *  Shipping Corp of India Ltd   120 
 1,113,097   *  Shun TAK Holdings Ltd   512 
 2,622,000      Sichuan Expressway Co Ltd   1,077 
 79,000      Sincere Navigation   56 
 193,349      Singapore Airlines Ltd   1,421 
 473,900      Singapore Airport Terminal Services Ltd   1,758 
 1,052,719   e  Singapore Post Ltd   1,017 
 1,490,000      Sinotrans Ltd   763 
 1,152,000   e  Sinotrans Shipping Ltd   290 
 2,141,000      SITC International Co Ltd   1,683 
 14,814   e  Sixt AG.   896 
 37,241      Sixt AG. (Preference)   1,848 
 9,289      Sixt Leasing AG.   196 
 156,880      Skywest, Inc   5,507 
 92,808      Societa Iniziative Autostradali e Servizi S.p.A.   1,023 
 1,645,499      Southwest Airlines Co   102,251 
 1,094,827   *  SpiceJet Ltd   2,235 
 302,001   *  Spirit Airlines, Inc   15,598 
 689,906      Stagecoach Group plc   1,675 
 66,163      Stolt-Nielsen S.A.   931 
 62,065   *,e  Student Transportation, Inc   376 
 415,075   *,e  STX Pan Ocean Co Ltd   1,916 
 375,767      Sumitomo Warehouse Co Ltd   2,388 
 145,886   *,e  Swift Transportation Co, Inc   3,866 
 1,352,677      Sydney Airport   7,368 
 278,000      T.Join Transportation Co   346 
 3,230,000   *  Taiwan High Speed Rail Corp   2,701 
 137,595      TAV Havalimanlari Holding AS   738 
 126,000      Tegma Gestao Logistica   525 
 269,992      TFI International, Inc   5,823 
 695,900   *  Thai Airways International PCL-Foreign   397 
 690,935      Thoresen Thai Agencies PCL   184 
 4,520,000      Tianjin Port Development Holdings Ltd   752 
 1,686,488      TNT NV   7,870 
 702,033      Tobu Railway Co Ltd   3,836 
 1,394,075      Tokyu Corp   10,653 
 4,900      Trancom Co Ltd   240 
 1,694,225      Transurban Group (ASE)   15,430 
 598,171   *  Turk Hava Yollari   1,368 
 278,000      U-Ming Marine Transport Corp   291 
 4,041,115      Union Pacific Corp   440,118 
 789,355   *  United Continental Holdings, Inc   59,399 
 1,249,022      United Parcel Service, Inc (Class B)   138,129 
 18,952      Universal Truckload Services, Inc   284 
 60,603   *  Virgin Australia Holdings Ltd   8 
 67,336   *,m  Virgin Australia Int Holdings    0^
 18,380      VRL Logistics Ltd   95 
 25,397      VTG AG.   993 
 274,000      Wan Hai Lines Ltd   154 
 94,344      Werner Enterprises, Inc   2,769 
 100,683      West Japan Railway Co   7,124 
 66,624      WestJet Airlines Ltd   1,189 
165

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 445,900      Westports Holdings BHD  $378 
 150,602      Westshore Terminals Investment Corp   2,440 
 145,944   *  Wilh. Wilhelmsen ASA   860 
 69,376      Wisdom Marine Lines Co Ltd   71 
 2,526,000      Xiamen International Port Co Ltd   469 
 326,688   *  XPO Logistics, Inc   21,114 
 56,266      Yamato Transport Co Ltd   1,143 
 396,260   *  Yang Ming Marine Transport   163 
 133,300   *  YRC Worldwide, Inc   1,482 
 1,092,000      Yuexiu Transport Infrastructure Ltd   783 
 10,700      Yusen Air & Sea Service Co Ltd   99 
 5,884,194      Zhejiang Expressway Co Ltd   7,686 
        TOTAL TRANSPORTATION   2,755,748 
        
UTILITIES - 2.8%
 1,836,762      A2A S.p.A.   3,054 
 3,456,310      Aboitiz Power Corp   2,664 
 81,416      Acciona S.A.   7,168 
 193,079      ACEA S.p.A.   2,926 
 437,392      Actelios S.p.A.   578 
 571,038   *  Adani Power Ltd   263 
 182,138   *  Adani Transmissions Ltd   349 
 1,911,973      AES Corp   21,242 
 2,219,876      AES Gener S.A.   782 
 113,900   *  AES Tiete S.A.   469 
 348,364   *,m  AET&D Holdings No 1  Ptd Ltd    0 
 934,665      AGL Energy Ltd   18,316 
 3,198,165      Aguas Andinas S.A.   1,874 
 121,973   *  Aksa Enerji Uretim AS   135 
 360,140   e  Algonquin Power & Utilities Corp   3,791 
 123,421      Allete, Inc   8,847 
 240,856      Alliant Energy Corp   9,675 
 286,310      Alupar Investimento S.A.   1,563 
 379,620      Ameren Corp   20,754 
 3,046,709      American Electric Power Co, Inc   211,655 
 86,546      American States Water Co   4,103 
 493,126      American Water Works Co, Inc   38,439 
 900,610   e  APA Group   6,346 
 178,340      Aqua America, Inc   5,939 
 22,769   *,e  AquaVenture Holdings Ltd   347 
 17,366      Artesian Resources Corp   654 
 163,589      Ascopiave S.p.A.   650 
 246,118      Atco Ltd   9,624 
 130,321      Athens Water Supply & Sewage Co S.A.   874 
 299,276   *  Atlantic Power Corp   718 
 183,457   *  Atlantic Power Corp (Toronto)   434 
 147,770      Atmos Energy Corp   12,258 
 1,310,915      AusNet Services   1,748 
 124,542      Avangrid, Inc   5,499 
 130,131      Avista Corp   5,525 
 200,268      Aygaz AS   888 
 2,337,706   *  Babcock & Brown Wind Partners   1,311 
 684,400      BCPG PCL   290 
 4,360,191      Beijing Enterprises Water Group Ltd   3,384 
 2,736,000   *  Beijing Gas Blue Sky Holding   182 
 15,474,100      Benpres Holdings Corp   2,213 
166

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 94,402      BKW S.A.  $5,549 
 105,614   e  Black Hills Corp   7,126 
 43,130      Boralex, Inc   730 
 41,122   *  Cadiz, Inc   555 
 95,787      California Water Service Group   3,525 
 976,761   *  Calpine Corp   13,216 
 264,821      Canadian Utilities Ltd   8,509 
 446,000   e  Canvest Environment Protection Group Co Ltd   234 
 315,402   e  Capital Power Corp   5,915 
 59,632      Capital Stage AG.   421 
 1,126,987      Centerpoint Energy, Inc   30,857 
 190,100   *  Centrais Eletricas Brasileiras S.A.   714 
 515,979      Centrais Eletricas Brasileiras S.A. (Preference)   2,556 
 8,700,870      Centrica plc   22,685 
 95,161      CESC Ltd   1,278 
 160,137      CEZ AS   2,787 
 4,708,000   e  CGN New Energy Holdings Co Ltd   645 
 11,118,000   g  CGN Power Co Ltd   3,103 
 61,568      Chesapeake Utilities Corp   4,615 
 1,690,000   *  China Datang Corp Renewable Power Co Ltd   186 
 255,400   e  China Everbright Water Ltd   89 
 1,768,308      China Gas Holdings Ltd   3,570 
 3,232,627      China Longyuan Power Group Corp   2,351 
 3,648,000   e  China Oil and Gas Group Ltd   248 
 3,517,796      China Power International Development Ltd   1,248 
 208,500      China Power New Energy Development Co Ltd   133 
 911,580      China Resources Gas Group Ltd   3,109 
 6,654,983      China Resources Power Holdings Co   13,064 
 456,000      China Water Affairs Group Ltd   274 
 920,000   *  China Water Industry Group Ltd   199 
 722,136      Chubu Electric Power Co, Inc   9,603 
 209,652      Chugoku Electric Power Co, Inc   2,315 
 19,300      Cia de Gas de Sao Paulo-COMGAS   269 
 781,200      Cia de Saneamento Basico do Estado de Sao Paulo   7,466 
 44,080      Cia de Saneamento de Minas Gerais-COPASA   532 
 2,109,800      Cia de Saneamento do Parana   6,942 
 732,733      Cia Energetica de Minas Gerais   1,787 
 133,000      Cia Energetica de Sao Paulo (Class B)   621 
 9,404      Cia Energetica do Ceara   131 
 223,760      Cia Paranaense de Energia   1,657 
 988,344      CK Infrastructure Holdings Ltd   8,302 
 1,459,700      CK Power PCL   142 
 2,630,644      CLP Holdings Ltd   27,817 
 304,887      CMS Energy Corp   14,101 
 2,618,738      Colbun S.A.   563 
 21,706      Connecticut Water Service, Inc   1,205 
 265,922      Consolidated Edison, Inc   21,492 
 30,770      Consolidated Water Co, Inc   382 
 960,127      Contact Energy Ltd   3,666 
 206,446      CPFL Energia S.A.   1,652 
 1,506,000   e  CT Environmental Group Ltd   262 
 15,299      Delta Natural Gas Co, Inc   466 
 149,958   *,m  Dishman Carbogen Amcis India Ltd   699 
 1,535,006      Dominion Resources, Inc   117,627 
 394,608   g  DONG Energy A.S.   17,811 
 405,891      Drax Group plc   1,724 
167

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 995,100      DTE Energy Co  $105,272 
 1,498,562      Duke Energy Corp   125,265 
 602,392   *  Dynegy, Inc   4,982 
 1,631,904   *  E.CL SA   2,982 
 1,812,324      E.ON AG.   17,108 
 865,335      Edison International   67,661 
 292,478      EDP - Energias do Brasil S.A.   1,253 
 135,357      El Paso Electric Co   6,998 
 340,100      Electric Power Development Co   8,424 
 1,619,419      Electricite de France   17,546 
 24,300      Electricity Generating PCL   153 
 73,300      Eletropaulo Metropolitana de Sao Paulo S.A.   280 
 23,414      Elia System Operator S.A.   1,325 
 73,419      Emera, Inc   2,729 
 3,436,249      Empresa Nacional de Electricidad S.A.   2,589 
 955,173   e  Endesa S.A.   22,034 
 921,614   *  Enea S.A.   3,321 
 8,546,140      Enel S.p.A.   45,837 
 898,566      Energa S.A.   2,539 
 3,988,213      Energias de Portugal S.A.   13,046 
 1      Energix-Renewable Energies Ltd    0^
 547,366   *,e  Energy World Corp Ltd   160 
 57,492,832      Enersis Chile S.A.   6,305 
 29,747,129      Enersis S.A.   5,642 
 161,641      Engie Brasil Energia S.A.   1,655 
 751,228      ENN Energy Holdings Ltd   4,532 
 196,750      Entergy Corp   15,104 
 216,200      Equatorial Energia S.A.   3,536 
 21,500   e  eRex Co Ltd   187 
 41,403      ERG S.p.A.   582 
 105,448   e  ERM Power Ltd   97 
 297,081      Eversource Energy   18,036 
 29,776      EVN AG.   445 
 3,881,393      Exelon Corp   140,002 
 44,000   m  Federal Grid Co Unified Energy System JSC (GDR)   64 
 1,064,200      First Gen Corp   399 
 666,500      First Philippine Holdings Corp   925 
 714,566      FirstEnergy Corp   20,837 
 311,597      Fortis, Inc   10,952 
 434,924      Fortum Oyj   6,826 
 1,002,358      GAIL India Ltd   5,601 
 595,500      Gas Malaysia BHD   416 
 416,570      Gas Natural SDG S.A.   9,751 
 2,448,474      Gaz de France   36,957 
 10,354,000   *,e  GCL New Energy Holdings Ltd   511 
 1,001,687      Genesis Energy Ltd   1,784 
 44,757      Genie Energy Ltd   341 
 428,100      Global Power Synergy Co Ltd (Foreign)   457 
 20,940   e  Global Water Resources, Inc   207 
 1,928,571      Glow Energy PCL (Foreign)   4,469 
 208,651      Great Plains Energy, Inc   6,109 
 1,767,066      Guangdong Investments Ltd   2,435 
 58,568      Gujarat Gas Co Ltd   673 
 102,793      Gujarat State Petronet Ltd   281 
 132,162      Hawaiian Electric Industries, Inc   4,279 
 497,893      Hera S.p.A.   1,522 
168

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 5,207,052   e,g  HK Electric Investments & HK Electric Investments Ltd  $4,787 
 205,700      Hokkaido Electric Power Co, Inc   1,570 
 126,900      Hokuriku Electric Power Co   1,146 
 87,700   *  HOLDING CO ADMIE IPTO S.A.   224 
 6,997,277      Hong Kong & China Gas Ltd   13,160 
 1,420,819      Hong Kong Electric Holdings Ltd   12,542 
 327,030   *  Huadian Energy Co Ltd   160 
 6,218,000      Huadian Fuxin Energy Corp Ltd   1,489 
 13,001,756      Huaneng Power International, Inc   9,029 
 4,444,000      Huaneng Renewables Corp Ltd   1,371 
 476,800      Hub Power Co Ltd   534 
 268,339   g  Hydro One Ltd   4,807 
 1,554,300   e  Hyflux Ltd   621 
 7,589,518      Iberdrola S.A.   60,142 
 147,876      Idacorp, Inc   12,621 
 71,572   *  Indiabulls Infrastructure and Power Ltd   5 
 1,719,143   e  Infraestructura Energetica ,NV SAB de C.V.   9,165 
 1,735,026      Infratil Ltd   3,782 
 87,092   e  Innergex Renewable Energy, Inc   958 
 354,199      Innogy SE   13,940 
 1,027,900   m  Inter Far East Energy Corp   94 
 681,249      Interconexion Electrica S.A.   2,982 
 1,110,468      Inversiones Aguas Metropolitanas S.A.   1,881 
 2,170,638      Iride S.p.A.   5,028 
 12,188   e  iShares NASDAQ Biotechnology ETF   3,779 
 330,968      Italgas S.p.A   1,672 
 283,069   e  Just Energy Income Fund   1,484 
 8,400      K&O Energy Group, Inc   133 
 451,000   g  Kangda International Environmental Co Ltd   91 
 1,502,815      Kansai Electric Power Co, Inc   20,723 
 22,843   *  Kenon Holdings Ltd   308 
 4,075,000   *  Kong Sun Holdings Ltd   194 
 16,295      Korea District Heating Corp   1,113 
 236,441      Korea Electric Power Corp   8,431 
 27,371      Korea Gas Corp   1,273 
 514,177      Kyushu Electric Power Co, Inc   6,249 
 56,600      Light S.A.   383 
 18,564      Mahanagar Gas Ltd   284 
 1,624,000      Manila Water Co, Inc   999 
 468,794      MDU Resources Group, Inc   12,282 
 895,914   *  Meridian Energy Ltd   1,910 
 75,718      MGE Energy, Inc   4,872 
 57,045      Middlesex Water Co   2,259 
 603,748      Mighty River Power Ltd   1,469 
 180,164      Mosenergo PJSC (ADR)   369 
 109,378   e  National Fuel Gas Co   6,108 
 5,959,342      National Grid plc   73,839 
 169,540      New Jersey Resources Corp   6,731 
 2,123,225      NextEra Energy, Inc   297,528 
 597,541      NiSource, Inc   15,154 
 154,121   e  Northland Power Income Fund   2,745 
 68,025      Northwest Natural Gas Co   4,071 
 112,113      NorthWestern Corp   6,841 
 977,141      NRG Energy, Inc   16,826 
 452,359      NRG Yield, Inc (Class A)   7,717 
 124,493      NRG Yield, Inc (Class C)   2,191 
169

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 2,761,519      NTPC Ltd  $6,787 
 561,443      OGE Energy Corp   19,533 
 285,780      Okinawa Electric Power Co, Inc   6,537 
 145,903      ONE Gas, Inc   10,185 
 145,720      Ormat Technologies, Inc   8,551 
 0      Ormat Technologies, Inc (Foreign)    0^
 1,993,188      Osaka Gas Co Ltd   8,162 
 114,438      Otter Tail Corp   4,532 
 268,721   *,e  Pampa Energia S.A. (ADR)   15,814 
 464,919      Pattern Energy Group, Inc   11,084 
 573,932      Pennon Group plc   6,168 
 446,491      Petronas Gas BHD   1,928 
 3,006,165      PG&E Corp   199,519 
 282,298   n  Pinnacle West Capital Corp   24,040 
 213,640      PNM Resources, Inc   8,172 
 27,189,594      PNOC Energy Development Corp   3,258 
 821,092      Polska Grupa Energetyczna S.A.   2,683 
 177,403      Portland General Electric Co   8,106 
 5,909      Poweo   358 
 1,480,409      PPL Corp   57,233 
 11,341,532      PT Perusahaan Gas Negara Persero Tbk   1,913 
 2,109,446      PTC India Ltd   3,149 
 87,700   *  Public Power Corp   220 
 567,654      Public Service Enterprise Group, Inc   24,415 
 33,324   *  Pure Cycle Corp   258 
 27,071      Qatar Electricity & Water Co   1,404 
 500,000      Ratchaburi Electricity Generating Holding PCL (ADR)   765 
 414,623      Red Electrica Corp S.A.   8,674 
 198,175   e  Redes Energeticas Nacionais S.A.   621 
 192,715      Reliance Energy Ltd   1,482 
 344,726   *  Reliance Power Ltd   227 
 13,274   *,e  RGC Resources, Inc   376 
 85,068      Rubis   9,649 
 2,478,890      RusHydro PJSC (ADR)   3,177 
 692,292   *  RWE AG.   13,829 
 32,900      Saeta Yield S.A.   372 
 6,899      Samchully Co Ltd   745 
 151,713      SCANA Corp   10,166 
 44,405   g  Scatec Solar ASA   252 
 1,061,275      Scottish & Southern Energy plc   20,081 
 18,637      Sechilienne-Sidec   429 
 1,504,183      Sempra Energy   169,597 
 313,276      Severn Trent plc   8,906 
 141,300   *  Shanghai Lingyun Industries Development Co Ltd   132 
 413,000   e  Shikoku Electric Power Co, Inc   4,875 
 32,300      Shizuoka Gas Co Ltd   215 
 9,367,480   e  SIIC Environment Holdings Ltd   3,538 
 839,254   *,m  Sintex Plastics Technology Ltd   1,109 
 35,979      SJW Corp   1,769 
 128,000   *,m  Sound Global Ltd    0^
 205,787      South Jersey Industries, Inc   7,032 
 1,429,893      Southern Co   68,463 
 241,422      Southwest Gas Corp   17,638 
 79,094   e  Spark Energy, Inc   1,487 
 1,413,556      Spark Infrastructure Group   2,844 
 78,200      SPCG PCL   48 
170

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 113,525      Spire, Inc  $7,918 
 763,159      Suez Environnement S.A.   14,131 
 327,806   e  Superior Plus Corp   2,887 
 298,450      Taiwan Cogeneration Corp   231 
 345,600      Taliworks Corp BHD   119 
 1,911,162      Tata Power Co Ltd   2,380 
 1,968,799      Tauron Polska Energia S.A.   1,902 
 142,942      Telecom Plus plc   2,151 
 4,400,241      Tenaga Nasional BHD   14,497 
 33,141      Terna Energy S.A.   151 
 1,179,697      Terna Rete Elettrica Nazionale S.p.A.   6,372 
 178,610      TerraForm Global, Inc   902 
 162,034      TerraForm Power, Inc   1,944 
 718,300      Thai Tap Water Supply PCL   224 
 248,000      Tianjin Development Hldgs Ltd   138 
 511,876      Toho Gas Co Ltd   3,729 
 621,694      Tohoku Electric Power Co, Inc   8,616 
 2,061,819   *  Tokyo Electric Power Co, Inc   8,512 
 2,721,813      Tokyo Gas Co Ltd   14,177 
 198,880      Torrent Power Ltd   546 
 598,103   e  Towngas China Co Ltd   391 
 283,697      TransAlta Corp   1,814 
 211,089      TransAlta Renewables, Inc   2,549 
 341,900      Transmissora Alianca de Energia Eletrica S.A.   2,275 
 223,385      UGI Corp   10,814 
 214,939      Uniper SE   4,039 
 2,290,000   *,e  United Photovoltaics Group Ltd   305 
 562,571      United Utilities Group plc   6,359 
 27,001      Unitil Corp   1,304 
 30,769      VA Tech Wabag Ltd   328 
 62,784   e  Valener, Inc   1,081 
 25,000      Vanguard FTSE Developed Markets ETF   1,033 
 134,844      Vectren Corp   7,880 
 637,977      Veolia Environnement   13,497 
 629,163   e  Vistra Energy Corp   10,564 
 59,592   *,e  Vivint Solar, Inc   349 
 237,587      WEC Energy Group, Inc   14,583 
 202,474      Westar Energy, Inc   10,735 
 101,324      WGL Holdings, Inc   8,453 
 1,969,921      Xcel Energy, Inc   90,380 
 25,400      York Water Co   885 
 3,448,185      YTL Corp BHD   1,173 
 7,988,950      YTL Power International BHD   2,699 
 203,000   e  Yunnan Water Investment Co Ltd   89 
 581,108   *  Zorlu Enerji Elektrik Uretim AS   225 
        TOTAL UTILITIES   3,319,583 
        TOTAL COMMON STOCKS   118,645,020 
        (Cost $102,451,562)     
              
PURCHASED OPTIONS - 0.0%        
                
DIVERSIFIED FINANCIALS - 0.0%        
 2,500      E*TRADE Financial Corp    0^
 2,000      S&P 500 Index   181 
        TOTAL DIVERSIFIED FINANCIALS   181 
171

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
FOOD, BEVERAGE & TOBACCO - 0.0%        
 2,000      Pinnacle Foods, Inc  $2 
        TOTAL FOOD, BEVERAGE & TOBACCO   2 
                
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%
 2,000      Alexion Pharmaceuticals, Inc   22 
 1,000      Alnylam Pharmaceuticals, Inc   26 
 1,500      BioMarin Pharmaceutical, Inc   8 
 1,500      Illumina, Inc   19 
 500      Seattle Genetics, Inc   1 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   76 
                
RETAILING - 0.0%        
 3,000      Home Depot, Inc   15 
        TOTAL RETAILING   15 
                
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.0%        
 2,000      Intel Corp    0^
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   0^
                
SOFTWARE & SERVICES - 0.0%        
 800,000      Microsoft Corp   896 
 700,000      Microsoft Corp   686 
 2,500      Microsoft Corp   2 
        TOTAL SOFTWARE & SERVICES   1,584 
                
TECHNOLOGY HARDWARE & EQUIPMENT - 0.0%        
 5,000      Cisco Systems, Inc   1 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   1 
        TOTAL PURCHASED OPTIONS   1,859 
        (Cost $2,319)     
              
PREFERRED STOCKS - 0.0%        
BANKS - 0.0%        
 7,055,971   *  ITAUSA Investimentos Itau PR   19,211 
        TOTAL BANKS   19,211 
              
CAPITAL GOODS - 0.0%        
 4,779      Villeroy & Boch AG   106 
        TOTAL CAPITAL GOODS   106 
              
DIVERSIFIED FINANCIALS - 0.0%        
 300,000      Daishin Securities Co Ltd Pref 2   2,362 
        TOTAL DIVERSIFIED FINANCIALS   2,362 
              
ENERGY - 0.0%        
 33,002,560   *,m  Cairn India Ltd   391 
        TOTAL ENERGY   391 
              
MATERIALS - 0.0%        
 292,716   *,m  UPL Ltd   60 
        TOTAL MATERIALS   60 
              
REAL ESTATE - 0.0%        
 8,497,223   *,m  Ayala Land, Inc (Preferred B)   17 
        TOTAL REAL ESTATE   17 
        TOTAL PREFERRED STOCKS   22,147 
        (Cost $24,148)     
172

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
RIGHTS / WARRANTS - 0.0%        
AUTOMOBILES & COMPONENTS - 0.0%        
 356,682      Tata Motors Ltd (DVR)  $1,450 
        TOTAL AUTOMOBILES & COMPONENTS   1,450 
              
CAPITAL GOODS - 0.0%        
 304,956   e,m  Abengoa S.A. (B Shares)    0 
 168,228   e,m  Talgo S.A.   14 
        TOTAL CAPITAL GOODS   14 
              
CONSUMER DURABLES & APPAREL - 0.0%        
 319,579      ACS Actividades de Construccion y Servicios S.A.   255 
 424,810      Sacyr S.A.   34 
        TOTAL CONSUMER DURABLES & APPAREL   289 
              
DIVERSIFIED FINANCIALS - 0.0%        
 11,467   m  Emergent Capital, Inc    0 
 1,000,000      Group Lease PCL (NVDR)   629 
 341,500      Morgan Stanley BV   6,320 
        TOTAL DIVERSIFIED FINANCIALS   6,949 
              
ENERGY - 0.0%        
 244,517      Ezion Holdings Ltd   6 
 223,371      Repsol S.A.   102 
        TOTAL ENERGY   108 
              
FOOD & STAPLES RETAILING - 0.0%        
 135,947   m  Safeway Casa Ley    0 
 135,947   m  Safeway PDC LLC    0 
        TOTAL FOOD & STAPLES RETAILING    0 
              
FOOD, BEVERAGE & TOBACCO - 0.0%        
 122,260      Thaifoods Group PCL   5 
        TOTAL FOOD, BEVERAGE & TOBACCO   5 
              
HEALTH CARE EQUIPMENT & SERVICES - 0.0%        
 190,191      Community Health Systems, Inc   4 
 305,892   m  Vibhavadi Medical Center PCL    0 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   4 
              
MEDIA - 0.0%        
 81,400      RS PCL   10 
        TOTAL MEDIA   10 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%        
 234   m  Amicogen, Inc   2 
 153   e  Asterias Biotherapeutics, Inc    0^
 2,121   e  BioTime, Inc   1 
 55,620   m  Forest Laboratories, Inc CVR   53 
 17,790   m  Omthera Pharmaceuticals, Inc   11 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   67 
              
REAL ESTATE - 0.0%        
 4,106      Airport City Ltd   14 
 4,761,352   m  BGP Holdings plc    0 
 106,212      Cheuk Nang Holdings Ltd   14 
173

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

SHARES      COMPANY  VALUE
(000)
 
 48,136   m  NewRiver REIT plc  $9 
        TOTAL REAL ESTATE   37 
              
SOFTWARE & SERVICES - 0.0%        
 141,205   m  Gerber Scientific, Inc    0 
 197,730      Link Administration Holdings Ltd   174 
        TOTAL SOFTWARE & SERVICES   174 
              
TELECOMMUNICATION SERVICES - 0.0%        
 106,663   m  Sejong Telecom, Inc   17 
        TOTAL TELECOMMUNICATION SERVICES   17 
              
TRANSPORTATION - 0.0%        
 2      Thoresen Thai Agencies PCL    0^
        TOTAL TRANSPORTATION    0^
              
        TOTAL RIGHTS / WARRANTS   9,124 
        (Cost $8,494)     

 

                      MATURITY      
PRINCIPAL           ISSUER   RATE   DATE      
SHORT-TERM INVESTMENTS - 2.6%
GOVERNMENT AGENCY DEBT - 0.1%
$ 100,000,000         Federal Home Loan Bank (FHLB)     0.827 %   07/10/17     99,981  
  57,700,000         FHLB     0.871     07/14/17     57,682  
            TOTAL GOVERNMENT AGENCY DEBT     157,663  
 
TREASURY DEBT - 0.4%
  12,400,000         United States Treasury Bill     0.767     07/13/17     12,397  
  29,000,000         United States Treasury Bill     0.756     07/20/17     28,989  
  54,700,000         United States Treasury Bill     0.788     07/27/17     54,670  
  50,000,000         United States Treasury Bill     0.857     08/03/17     49,963  
  41,600,000         United States Treasury Bill     0.892     08/10/17     41,562  
  77,500,000         United States Treasury Bill     0.938     09/14/17     77,351  
  205,500,000         United States Treasury Bill     0.941-0.989     09/21/17     205,060  
  38,700,000         United States Treasury Bill     0.999     09/28/17     38,606  
            TOTAL TREASURY DEBT     508,598  
           
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 2.1%
CERTIFICATE OF DEPOSIT - 0.4%
  120,000,000         Bank of Montreal     1.000     07/03/17     120,000  
  120,000,000         Bank of Nova Scotia     1.060     07/03/17     120,000  
  120,000,000         CIBC Bank and Trust Company     1.050     07/03/17     120,000  
  120,000,000         National Australia Bank LTD     1.050     07/03/17     120,000  
            TOTAL CERTIFICATE OF DEPOSIT     480,000  
 
REPURCHASE AGREEMENT - 1.6%
  89,000,000     p   Barclays     1.080     07/03/17     89,000  
  90,000,000     q   Calyon     1.060     07/03/17     90,000  
174

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

                      MATURITY   VALUE 
PRINCIPAL           ISSUER   RATE   DATE   (000)  
$ 7,000,000     r   Citigroup     1.080 %   07/03/17   $ 7,000  
  130,000,000     s   Citigroup     1.060     07/07/17     130,000  
  150,000,000     t   Citigroup     1.070     07/07/17     150,000  
  70,000,000     u   HSBC     1.040     07/03/17     70,000  
  180,000,000     v   HSBC     1.060     07/03/17     180,000  
  50,000,000     w   JP Morgan     1.020     07/03/17     50,000  
  100,000,000     x   JP Morgan     1.110     07/03/17     100,000  
  9,706,000     y   Merrill Lynch     1.080     07/03/17     9,706  
  230,000,000     z   Nomura     1.130     07/03/17     230,000  
  111,000,000     aa   Royal Bank of Scotland     1.080     07/03/17     111,000  
  310,000,000     ab   Royal Bank of Scotland     1.050     07/06/17     310,000  
  360,000,000     ac   Royal Bank of Scotland     1.060     07/07/17     360,000  
            TOTAL REPURCHASE AGREEMENT                 1,886,706  
 
VARIABLE RATE SECURITIES - 0.1%
  71,392,471     i   SLM Student Loan Trust     1.196     01/25/19     71,232  
            TOTAL VARIABLE RATE SECURITIES     71,232  
                     
            TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED     2,437,938  
                         
            TOTAL SHORT-TERM INVESTMENTS             3,104,199  
            (Cost $3,104,329)                
            TOTAL INVESTMENTS - 101.9%             121,782,974  
            (Cost $105,591,620)                
            OTHER ASSETS & LIABILITIES, NET - (1.9)%             (2,246,406 )
            NET ASSETS - 100.0%           $ 119,536,568  

       
       
  Abbreviation(s):
    ADR      American Depositary Receipt
    CVR      Contingent Value Right
    DVR      Differential Voting Rights
    ETF       Exchange Traded Fund
    GDR      Global Depositary Receipt
    NVDR   Non Voting Depository Receipt
    REIT     Real Estate Investment Trust
    SPDR    Standard & Poor’s Depositary Receipts
175

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

*   Non-income producing
^   Amount represents less than $1,000.
a   Affiliated holding
b   In bankruptcy
d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $2,307,764,000.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/17, the aggregate value of these securities was $590,172,000 or 0.5% of net assets.
i   Floating or variable rate security. Coupon rate reflects the rate at period end.
l   All or a portion of these securities have been segregated by the custodian to cover collateral requirements on swap agreements.
m   Indicates a security that has been deemed illiquid.
n   All or a portion of these securities have been segregated by the custodian to cover requirements on open written options contracts.
p   Agreement with Barclays, 1.08% dated 6/30/17 to be repurchased at $89,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $90,780,000.
q   Agreement with Calyon, 1.06% dated 6/30/17 to be repurchased at $90,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $91,800,000.
r   Agreement with Citigroup, 1.08% dated 6/30/17 to be repurchased at $7,000,000 on 7/03/17 collateralized by U.S. Government Agency Securities valued at $7,140,000.
s   Agreement with Citigroup, 1.06% dated 6/30/17 to be repurchased at $130,000,000 on 7/07/17 collateralized by U.S. Government Agency Securities valued at $132,600,000.
t   Agreement with Citigroup, 1.07% dated 6/30/17 to be repurchased at $150,000,000 on 7/07/17 collateralized by U.S. Government Agency Securities valued at $153,000,000.
u   Agreement with HSBC, 1.04% dated 6/30/17 to be repurchased at $70,000,000 on 7/03/17 collateralized by U.S. Government Agency Securities at $71,403,000.
v   Agreement with HSBC, 1.06% dated 6/30/17 to be repurchased at $180,000,000 on 7/03/17 collateralized by U.S. Government Agency Securities at $183,604,000.
w   Agreement with JP Morgan, 1.02% dated 6/30/17 to be repurchased at $50,000,000 on 7/03/17 collateralized by U.S. Government Agency Securities at $51,002,000.
x   Agreement with JP Morgan, 1.11% dated 6/30/17 to be repurchased at $100,000,000 on 7/03/17 collateralized by U.S. Government Agency Securities at $102,002,000.
y   Agreement with Merrill Lynch, 1.08% dated 6/30/17 to be repurchased at $9,706,000 on 7/03/17 collateralized by U.S. Government Agency Securities at $9,900,000.
z   Agreement with Nomura, 1.13% dated 6/30/17 to be repurchase at $230,000,000 on 7/03/17 collateralized by U.S. Government Agency Securities at $234,600,000.
aa   Agreement with Royal Bank of Scotland, 1.08% dated 6/30/17 to be repurchased at $111,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $113,223,000.
ab   Agreement with Royal Bank of Scotland, 1.05% dated 6/29/17 to be repurchased at $310,000,000 on 7/06/17, collateralized by U.S. Government Agency Securities valued at $316,203,000.
ac   Agreement with Royal Bank of Scotland, 1.06% dated 6/30/17 to be repurchased at $360,000,000 on 7/07/17, collateralized by U.S. Government Agency Securities valued at $367,204,000.
     
    Cost amounts are in thousands.
176

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

COLLEGE RETIREMENT EQUITIES FUND

STOCK ACCOUNT

SUMMARY OF MARKET VALUES BY COUNTRY (unaudited)

June 30, 2017

 

Country  Value
(000)
   % of total
portfolio
 
DOMESTIC          
           
UNITED STATES  $85,467,046    70.2%
TOTAL DOMESTIC   85,467,046    70.2 
FOREIGN          
           
ARGENTINA   28,850    0.0 
AUSTRALIA   1,372,934    1.1 
AUSTRIA   227,060    0.2 
BELGIUM   169,484    0.2 
BERMUDA   131,375    0.1 
BRAZIL   579,749    0.5 
CANADA   2,381,709    2.0 
CAYMAN ISLANDS   5,194    0.0 
CHILE   98,214    0.1 
CHINA   2,407,611    2.0 
COLOMBIA   44,690    0.0 
CYPRUS   64    0.0 
CZECH REPUBLIC   20,881    0.0 
DENMARK   481,374    0.4 
EGYPT   17,004    0.0 
FAROE ISLANDS   4,528    0.0 
FINLAND   278,972    0.2 
FRANCE   3,012,430    2.5 
GEORGIA   5,893    0.0 
GERMANY   2,196,181    1.8 
GHANA   1,882    0.0 
GREECE   39,724    0.0 
GUERNSEY, C.I.   314    0.0 
HONG KONG   876,890    0.7 
HUNGARY   27,845    0.0 
INDIA   840,946    0.7 
INDONESIA   202,287    0.2 
IRELAND   352,903    0.3 
ISLE OF MAN   5,975    0.0 
ISRAEL   190,048    0.2 
ITALY   795,242    0.7 
JAPAN   5,903,355    4.8 
JERSEY, C.I.   12,103    0.0 
JORDAN   758    0.0 
KOREA, REPUBLIC OF   1,368,339    1.1 
LUXEMBOURG   111,584    0.1 
MACAU   4,743    0.0 
MALAYSIA   179,467    0.1 
MALTA   8,354    0.0 
MEXICO   297,029    0.2 
MONACO   7,912    0.0 
NETHERLANDS   1,249,198    1.0 
NEW ZEALAND   96,992    0.1 
NORWAY   198,869    0.2 
177

COLLEGE RETIREMENT EQUITIES FUND - Stock Account

 

Country  Value
(000)
   % of total
portfolio
 
PAKISTAN  $5,411    0.0%
PANAMA   16,043    0.0 
PERU   35,383    0.0 
PHILIPPINES   125,343    0.1 
POLAND   101,045    0.1 
PORTUGAL   42,068    0.0 
PUERTO RICO   30,608    0.0 
QATAR   39,716    0.0 
ROMANIA   3,001    0.0 
RUSSIA   217,369    0.2 
SINGAPORE   349,225    0.3 
SOUTH AFRICA   533,024    0.5 
SPAIN   683,702    0.6 
SRI LANKA   5,758    0.0 
SWEDEN   554,625    0.5 
SWITZERLAND   1,782,687    1.5 
TAIWAN   1,246,695    1.0 
THAILAND   205,733    0.2 
TURKEY   117,910    0.1 
UNITED ARAB EMIRATES   60,212    0.0 
UNITED KINGDOM   3,886,066    3.2 
URUGUAY   22,944    0.0 
ZAMBIA   14,404    0.0 
TOTAL FOREIGN   36,315,928    29.8 
           
TOTAL PORTFOLIO  $121,782,974    100.0%
178

 

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

COLLEGE RETIREMENT EQUITIES FUND

GLOBAL EQUITIES ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2017

 

          VALUE 
SHARES      COMPANY  (000) 
COMMON STOCKS - 98.3%
                
ARGENTINA - 0.0%
 7,491      Mercadolibre, Inc  $1,879 
 80,085   *,e  Pampa Energia S.A. (ADR)   4,713 
        TOTAL ARGENTINA   6,592 
                
AUSTRALIA - 1.5%
 150,348      AGL Energy Ltd   2,946 
 679,628   e  Alumina Ltd   1,001 
 374,045      Amcor Ltd   4,660 
 950,570   e  AMP Ltd   3,793 
 126,238   e  APA Group   890 
 21,947      Aristocrat Leisure Ltd   381 
 321,889   *,e,m  Arrium Ltd   3 
 74,053      AusNet Services   99 
 1,039,154      Australia & New Zealand Banking Group Ltd   22,936 
 65,427      Australian Stock Exchange Ltd   2,696 
 15,661      Bank of Queensland Ltd   138 
 19,321      Bendigo Bank Ltd   165 
 1,735,309      BHP Billiton Ltd   30,930 
 575,767   e  BHP Billiton Ltd (ADR)   20,492 
 856,572      BHP Billiton plc   13,123 
 149,267      BlueScope Steel Ltd   1,511 
 46,699      Boral Ltd   249 
 280,671      Brambles Ltd   2,099 
 10,674      Caltex Australia Ltd   259 
 76,336      Challenger Financial Services Group Ltd   783 
 37,181      CIMIC Group Ltd   1,109 
 127,830      Coca-Cola Amatil Ltd   907 
 6,523      Cochlear Ltd   779 
 508,949      Commonwealth Bank of Australia   32,377 
 103,620      Computershare Ltd   1,126 
 15,815      Crown Resorts Ltd   149 
 119,885      CSL Ltd   12,723 
 81,457      Dexus Property Group   593 
 43,787   e  Domino’s Pizza Enterprises Ltd   1,752 
 1,400,000      Downer EDI Ltd   6,896 
 71,877      DuluxGroup Ltd   383 
 2,107   e  Flight Centre Travel Group Ltd   62 
 821,486      Fortescue Metals Group Ltd   3,289 
 132,965      GPT Group (ASE)   489 
 20,608   e  Harvey Norman Holdings Ltd   61 
 70,255   e  Healthscope Ltd   119 
 166,853      Incitec Pivot Ltd   438 
 624,178      Insurance Australia Group Ltd   3,253 
 173,226      Lend Lease Corp Ltd   2,217 
 72,507      Macquarie Goodman Group   438 

179

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 59,025      Macquarie Group Ltd  $4,014 
 109,272      Medibank Pvt Ltd   235 
 947,246      Mirvac Group   1,549 
 323,027      National Australia Bank Ltd   7,348 
 334,201      Newcrest Mining Ltd   5,187 
 52,548      Oil Search Ltd   275 
 82,144      Orica Ltd   1,305 
 421,727   *  Origin Energy Ltd   2,224 
 1,689,414      Orora Ltd   3,713 
 72,671      Oxiana Ltd   414 
 3,596      Perpetual Trustees Australia Ltd   154 
 98,006      Qantas Airways Ltd   431 
 442,721      QBE Insurance Group Ltd   4,018 
 78,687      QR National Ltd   324 
 9,714      Ramsay Health Care Ltd   550 
 2,141      REA Group Ltd   109 
 339,670   *  Santos Ltd   790 
 1,765,352      Scentre Group   5,489 
 11,796      Seek Ltd   153 
 43,666      Shopping Centres Australasia Property Group   74 
 53,490      Sonic Healthcare Ltd   996 
 862,058      South32 Ltd   1,775 
 856,658   e  Stockland Trust Group   2,881 
 421,139      Suncorp-Metway Ltd   4,797 
 121,585      Sydney Airport   662 
 32,089      Tabcorp Holdings Ltd   108 
 54,595      Tattersall’s Ltd   175 
 1,472,972      Telstra Corp Ltd   4,867 
 15,164   e  TPG Telecom Ltd   67 
 289,806      Transurban Group (ASE)   2,639 
 28,118      Treasury Wine Estates Ltd   284 
 226,009      Vicinity Centres   446 
 173,990   *  Virgin Australia Holdings Ltd   21 
 249,395      Wesfarmers Ltd   7,690 
 528,264      Westfield Corp   3,258 
 951,662      Westpac Banking Corp   22,282 
 157,828      Woodside Petroleum Ltd   3,620 
 250,729      Woolworths Ltd   4,922 
 14,169   *  WorleyParsons Ltd   122 
        TOTAL AUSTRALIA   278,282 
                
AUSTRIA - 0.3%
 205,300      ams AG.   13,322 
 124,943      Andritz AG.   7,538 
 181,515      Erste Bank der Oesterreichischen Sparkassen AG.   6,953 
 10,324      OMV AG.   536 
 9,696   *  Raiffeisen International Bank Holding AG.   245 
 7,707      Voestalpine AG.   359 
 1,658,453      Wienerberger AG.   37,729 
        TOTAL AUSTRIA   66,682 
                
BELGIUM - 0.1%
 13,180      Ageas   531 

180

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 109,041      Anheuser-Busch InBev S.A.  $12,043 
 2,712      Befimmo SCA Sicafi   161 
 1,802      Cofinimmo   221 
 3,708      Colruyt S.A.   195 
 63,522   *  Fagron NV   782 
 5,514      Groupe Bruxelles Lambert S.A.   531 
 16,928      KBC Groep NV   1,283 
 10,474      Proximus plc   367 
 5,091      Solvay S.A.   683 
 3,327   *  Telenet Group Holding NV   210 
 8,299      UCB S.A.   571 
 6,334      Umicore   441 
        TOTAL BELGIUM   18,019 
                
BERMUDA - 0.0%
 139,315      Marvell Technology Group Ltd   2,301 
 18,935      RenaissanceRe Holdings Ltd   2,633 
 133,871   *  Third Point Reinsurance Ltd   1,861 
 39,558      XL Group Ltd   1,733 
        TOTAL BERMUDA   8,528 
                
BRAZIL - 0.3%
 1,136,366      Banco Itau Holding Financeira S.A.   12,606 
 484,600   *  Cia Brasileira de Distribuicao Grupo Pao de Acucar   9,530 
 345,000      Cosan SA Industria e Comercio   3,601 
 770,000      Cyrela Brazil Realty S.A.   2,547 
 504,000   *  Localiza Rent A Car   6,869 
 1,833,700   *  Petroleo Brasileiro S.A.   7,306 
 5,148,595      Via Varejo S.A.   16,909 
        TOTAL BRAZIL   59,368 
                
CANADA - 2.9%
 9,252      Agnico-Eagle Mines Ltd   417 
 49,896   e  Agrium, Inc   4,522 
 547,405      Alimentation Couche Tard, Inc   26,239 
 6,780      AltaGas Income Trust   155 
 233,443   e  ARC Resources Ltd   3,053 
 68,540      Atco Ltd   2,680 
 365,937   *  Bank of Montreal   26,870 
 374,697   e  Bank of Nova Scotia   22,540 
 323,232      Barrick Gold Corp (Canada)   5,142 
 60,084      BCE, Inc   2,706 
 34,833   *  Blackberry Ltd (New)   348 
 11,222      Boardwalk REIT   412 
 745,324   *  Bombardier, Inc   1,356 
 146,396      Brookfield Asset Management, Inc   5,745 
 11,279      CAE, Inc   195 
 16,748   e  Cameco Corp (Toronto)   153 
 4,016      Canadian Apartment Properties REIT   104 
 120,187   *,e  Canadian Imperial Bank of Commerce/Canada   9,768 
 159,857      Canadian National Railway Co   12,971 
 778,443      Canadian Natural Resources Ltd (Canada)   22,462 
 48,613      Canadian Pacific Railway Ltd (Toronto)   7,822 

181

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 2,431      Canadian Real Estate Investment Trust  $86 
 57,469      Canadian Tire Corp Ltd   6,539 
 13,523      Canadian Utilities Ltd   435 
 220,617      Cara Operations Ltd   4,008 
 5,397      CCL Industries   273 
 390,000   *  Celestica, Inc   5,299 
 1,897,233      Cenovus Energy, Inc (Toronto)   13,986 
 14,681   *  CGI Group, Inc   750 
 48,910   e  CI Financial Corp   1,042 
 7,914      Constellation Software, Inc   4,140 
 22,434   e  Crescent Point Energy Corp   172 
 130,000   *  Descartes Systems Group, Inc   3,163 
 363,844      Dollarama, Inc   34,766 
 55,424   e  Element Financial Corp   380 
 2,136      Emera, Inc   79 
 7,329      Empire Co Ltd   125 
 381,863      Enbridge, Inc   15,212 
 39,490      EnCana Corp   347 
 939      Fairfax Financial Holdings Ltd   407 
 6,976      Finning International, Inc   137 
 9,751      First Capital Realty, Inc   149 
 22,100      Fortis, Inc   777 
 56,826      Franco-Nevada Corp   4,100 
 57,954      George Weston Ltd   5,246 
 95,933      Gildan Activewear, Inc   2,948 
 35,231      Goldcorp, Inc   454 
 67,738      Great-West Lifeco, Inc   1,836 
 20,122      H&R Real Estate Investment Trust   342 
 14,753   *  Husky Energy, Inc   167 
 12,253   g  Hydro One Ltd   220 
 3,108   e  IGM Financial, Inc   96 
 28,544      Imperial Oil Ltd   832 
 13,495      Industrial Alliance Insurance and Financial Services, Inc   585 
 84,921      Intact Financial Corp   6,415 
 179,483      Inter Pipeline Ltd   3,516 
 46,001   *  International Petroleum Corp   137 
 22,431      Jean Coutu Group PJC, Inc   344 
 102,930   e  Keyera Corp   3,240 
 142,298   *  Kinaxis, Inc   8,860 
 356,066   *  Kinross Gold Corp   1,447 
 132,113      Linamar Corp   6,512 
 81,830      Loblaw Cos Ltd   4,552 
 99,288   *  Magna International, Inc   4,599 
 517,387      Manulife Financial Corp   9,699 
 1,974,100   *,e  MEG Energy Corp   5,800 
 26,445      Methanex Corp   1,167 
 348,623      Metro, Inc   11,474 
 118,764      National Bank of Canada   4,994 
 39,040      Onex Corp   3,125 
 81,694   e  Open Text Corp   2,578 
 18,148      Pembina Pipeline Income Fund   601 
 40,043   e  Peyto Exploration & Development Corp   726 
 118,380      Potash Corp of Saskatchewan   1,931 

182

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 123,763      Power Corp Of Canada  $2,823 
 145,723   e  Power Financial Corp   3,739 
 8,922   e  PrairieSky Royalty Ltd   203 
 180,715   e  Restaurant Brands International, Inc   11,302 
 20,187      Restaurant Brands International, Inc (Toronto)   1,263 
 45,929      RioCan Real Estate Investment Trust   853 
 29,879      Rogers Communications, Inc (Class B)   1,411 
 457,323   *  Royal Bank of Canada   33,206 
 10,140      Saputo, Inc   323 
 167,771   *  Seven Generations Energy Ltd   2,873 
 17,243   e  Shaw Communications, Inc (B Shares)   376 
 115,281   *  Shopify, Inc   10,010 
 14,371      Smart Real Estate Investment Trust   356 
 6,408      SNC-Lavalin Group, Inc   277 
 394,335   *,g  Spin Master Corp   11,768 
 124,186      Sun Life Financial, Inc   4,440 
 1,622,248      Suncor Energy, Inc   47,399 
 22,633      Teck Cominco Ltd   392 
 99,498      TELUS Corp   3,435 
 190,000      TFI International, Inc   4,098 
 49,166      Thomson Corp (Toronto)   2,276 
 771,425      Toronto-Dominion Bank   38,875 
 242,841   *  Tourmaline Oil Corp   5,221 
 285,545   e  TransCanada Corp   13,612 
 123   *  Trisura Group Ltd   2 
 40,326   *  Turquoise Hill Resources Ltd   107 
 142,780      Veresen, Inc   2,019 
 4,453   e  Vermilion Energy, Inc   141 
 37,828      Waste Connections, Inc   2,437 
 58,757      West Fraser Timber Co Ltd   2,781 
 180,000      WestJet Airlines Ltd   3,213 
 196,449      Wheaton Precious Metals Corp   3,902 
 64,032      Yamana Gold, Inc   155 
        TOTAL CANADA   561,763 
                
CHILE - 0.0%
 26,376   e  Antofagasta plc   275 
        TOTAL CHILE   275 
                
CHINA - 0.7%
 342,294   *  Alibaba Group Holding Ltd (ADR)   48,229 
 15,471   *  Baidu, Inc (ADR)   2,767 
 9,579,000   *,e,m  China Animal Healthcare Ltd   12 
 1,238,000      China Aoyuan Property Group Ltd   373 
 7,346,800      China Everbright International Ltd   9,163 
 1,300,255   *  China New Town Development Co Ltd   60 
 3,192,334      China Overseas Land & Investment Ltd   9,343 
 4,321,823   e  China Resources Land Ltd   12,591 
 203,000      CNOOC Ltd   223 
 58,623   *,e  Ctrip.com International Ltd (ADR)   3,157 
 4,000,000   e  Great Wall Motor Co Ltd   4,936 
 84,259   *  JD.com, Inc (ADR)   3,305 
 2,397,612      Sino-Ocean Land Holdings Ltd   1,173 

183

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 8,000,000      Sinopec Shanghai Petrochemical Co Ltd  $4,281 
 1,106,000      Sunny Optical Technology Group Co Ltd   9,904 
 907,300      Tencent Holdings Ltd   32,549 
 84,249      Yangzijiang Shipbuilding   73 
        TOTAL CHINA   142,139 
                
CZECH REPUBLIC - 0.0%
 1,134,176   g  Moneta Money Bank AS.   3,797 
        TOTAL CZECH REPUBLIC   3,797 
                
DENMARK - 0.8%
 261      AP Moller - Maersk AS (Class A)   498 
 434      AP Moller - Maersk AS (Class B)   874 
 7,162      Carlsberg AS (Class B)   765 
 6,484      Christian Hansen Holding   472 
 8,136      Coloplast AS   680 
 844,656      Danske Bank AS   32,496 
 85,000      Dfds A.S.   4,531 
 281,629   g  DONG Energy A.S.   12,712 
 262,652      DSV AS   16,133 
 5,894   *  Genmab AS   1,257 
 82,850      GN Store Nord   2,419 
 403,851      H Lundbeck AS   22,671 
 11,067      ISS A.S.   435 
 963,657      Novo Nordisk AS   41,406 
 15,468      Novozymes AS   677 
 7,469      Pandora AS   697 
 180,000      Sydbank AS   6,785 
 53,502      TDC AS   311 
 7,339      Tryg A.S.   160 
 14,788      Vestas Wind Systems AS   1,366 
 7,441   *  William Demant Holding A.S.   193 
        TOTAL DENMARK   147,538 
                
FINLAND - 0.5%
 178,007      Amer Sports Oyj (A Shares)   4,452 
 9,436      Elisa Oyj (Series A)   366 
 30,538      Fortum Oyj   479 
 352,600      Huhtamaki Oyj   13,886 
 22,789      Kone Oyj (Class B)   1,160 
 7,566      Metso Oyj   263 
 9,053      Neste Oil Oyj   357 
 3,663,703      Nokia Oyj (Turquoise)   22,465 
 7,484      Nokian Renkaat Oyj   310 
 116,802      Orion Oyj (Class B)   7,462 
 1,053,400      Outokumpu Oyj   8,406 
 679,539      Sampo Oyj (A Shares)   34,864 
 36,542      Stora Enso Oyj (R Shares)   472 
 125,633      UPM-Kymmene Oyj   3,582 
 300,000      Valmet Corp   5,829 
 9,812      Wartsila Oyj (B Shares)   580 
        TOTAL FINLAND   104,933 

184

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
FRANCE - 3.8%
 482,782      Accor S.A.  $22,647 
 2,010      Aeroports de Paris   324 
 26,105      Air Liquide   3,226 
 10,559   *,e  Alstom RGPT   369 
 95,999   g  Amundi S.A.   6,956 
 441,571      Arkema   47,156 
 6,346      Atos Origin S.A.   890 
 360,468      AXA S.A.   9,871 
 492,813      BNP Paribas   35,479 
 57,785      Bollore   263 
 14,432      Bouygues S.A.   608 
 18,098      Bureau Veritas S.A.   401 
 107,875      Cap Gemini S.A.   11,144 
 38,495   *  Carrefour S.A.   973 
 3,663      Casino Guichard Perrachon S.A.   217 
 3,665   e  Christian Dior S.A.   1,048 
 11,889      CNP Assurances   267 
 723,564      Compagnie de Saint-Gobain   38,642 
 1,670,635      Credit Agricole S.A.   26,911 
 159      Dassault Aviation S.A.   222 
 8,750      Dassault Systemes S.A.   785 
 14,010      Edenred   365 
 4,880      Eiffage S.A.   443 
 37,268   e  Electricite de France   404 
 27,195      Essilor International S.A.   3,460 
 2,969      Eurazeo   223 
 135,612      European Aeronautic Defence and Space Co   11,191 
 11,648      Eutelsat Communications   297 
 179,204   e  Faurecia   9,088 
 2,360      Fonciere Des Regions   219 
 979,829      France Telecom S.A.   15,594 
 538,383      Gaz de France   8,126 
 2,816      Gecina S.A.   442 
 584,163      Groupe Danone   43,846 
 30,457   e  Groupe Eurotunnel S.A.   325 
 1,419      Hermes International   701 
 6,262      Icade   525 
 1,718      Iliad S.A.   406 
 2,548      Imerys S.A.   222 
 3,856      Ingenico   350 
 2,535      Ipsen   347 
 189,880      JC Decaux S.A.   6,225 
 41,477      Kering   14,123 
 34,598      Klepierre   1,418 
 7,707      Lagardere S.C.A.   243 
 18,218      Legrand S.A.   1,273 
 202,861      L’Oreal S.A.   42,299 
 195,134      LVMH Moet Hennessy Louis Vuitton S.A.   48,794 
 98,203      Michelin (C.G.D.E.) (Class B)   13,070 
 62,066      Natixis   417 
 14,383   e  Pernod-Ricard S.A.   1,926 
 1,079,774      Peugeot S.A.   21,520 

185

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 13,594      Publicis Groupe S.A.  $1,013 
 31,580      Remy Cointreau S.A.   3,681 
 255,245      Renault S.A.   23,093 
 371,704   e  Rexel S.A.   6,074 
 20,963      Safran S.A.   1,922 
 294,486      Sanofi-Aventis   28,218 
 653,195      Schneider Electric S.A.   50,198 
 141,566      SCOR SE   5,624 
 1,567      SEB S.A.   281 
 1,951      Societe BIC S.A.   232 
 396,624      Societe Generale   21,388 
 6,202      Sodexho Alliance S.A.   802 
 322,234      Suez Environnement S.A.   5,967 
 274,952   *  Teleperformance   35,255 
 7,098      Thales S.A.   764 
 953,247      Total S.A.   47,326 
 17,750      Unibail-Rodamco   4,473 
 388,538      Valeo S.A.   26,140 
 193,999      Veolia Environnement   4,104 
 103,757      Vinci S.A.   8,851 
 69,233      Vivendi Universal S.A.   1,542 
 2,032      Wendel   301 
 13,035      Zodiac S.A.   354 
        TOTAL FRANCE   733,884 
                
GERMANY - 2.8%
 88,635      Adidas-Salomon AG.   16,996 
 110,775      Allianz AG.   21,861 
 280,710      Alstria Office REIT-AG.   3,796 
 2,969   e  Axel Springer AG.   179 
 300,226      BASF SE   27,864 
 437,076      Bayer AG.   56,649 
 23,094      Bayerische Motoren Werke AG.   2,148 
 2,738      Bayerische Motoren Werke AG. (Preference)   226 
 225,552      Beiersdorf AG.   23,724 
 775,000      Borussia Dortmund GmbH & Co KGaA   5,400 
 10,490      Brenntag AG.   608 
 2,720,066   *  Commerzbank AG.   32,480 
 7,452      Continental AG.   1,612 
 87,145   g  Covestro AG.   6,317 
 64,749      Daimler AG. (Registered)   4,696 
 35,902      Deutsche Annington Immobilien SE   1,428 
 1,065,260   e  Deutsche Bank AG.   18,951 
 338,638      Deutsche Bank AG. (Registered)   6,021 
 12,925      Deutsche Boerse AG.   1,365 
 14,861      Deutsche Lufthansa AG.   339 
 66,547      Deutsche Post AG.   2,498 
 1,492,850      Deutsche Telekom AG.   26,908 
 57,561      Deutsche Wohnen AG.   2,206 
 65,000      Duerr AG.   7,736 
 147,869      E.ON AG.   1,396 
 11,394      Evonik Industries AG.   365 
 2,870      Fraport AG. Frankfurt Airport Services Worldwide   254 

186

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 121,181      Fresenius Medical Care AG.  $11,693 
 54,984      Fresenius SE   4,720 
 4,826      Fuchs Petrolub AG. (Preference)   263 
 12,016      GEA Group AG.   493 
 74,133      Hannover Rueckversicherung AG.   8,904 
 9,904      HeidelbergCement AG.   960 
 6,964      Henkel KGaA   844 
 11,979      Henkel KGaA (Preference)   1,652 
 36,384   *  Hochtief AG.   6,679 
 4,337      Hugo Boss AG.   304 
 391,034      Infineon Technologies AG.   8,306 
 9,121      Innogy SE   359 
 12,346   e  K&S AG.   317 
 6,284      Lanxess AG.   477 
 460,008      Linde AG.   87,564 
 2,237      MAN AG.   240 
 61,100      Merck KGaA   7,393 
 12,204   *  Metro AG.   412 
 10,831      Muenchener Rueckver AG.   2,192 
 5,987      Osram Licht AG.   478 
 177,246   *  Paion AG.   646 
 9,990      Porsche AG.   562 
 390,413      ProSiebenSat. Media AG.   16,378 
 35,107   *  RWE AG.   701 
 144,090      SAP AG.   15,082 
 11,871      Schaeffler AG.   170 
 344,824   g  Scout24 AG.   12,684 
 389,037      Siemens AG.   53,514 
 65,000   *,e  SLM Solutions Group AG.   2,864 
 8,400      Symrise AG.   596 
 49,782      Telefonica Deutschland Holding AG.   249 
 289,722      ThyssenKrupp AG.   8,257 
 29,971      TUI AG. (DI)   437 
 8,338      United Internet AG.   459 
 6,215      Volkswagen AG.   965 
 8,348      Volkswagen AG. (Preference)   1,275 
 7,521   *,g  Zalando SE   344 
        TOTAL GERMANY   533,456 
                
HONG KONG - 0.8%
 6,136,658      AIA Group Ltd   44,898 
 9,718      ASM Pacific Technology   131 
 146,671      Bank of East Asia Ltd   630 
 722,353      BOC Hong Kong Holdings Ltd   3,457 
 85,000      Cathay Pacific Airways Ltd   132 
 650,543      Cheung Kong Property Holdings Ltd   5,091 
 625,000      Chow Sang Sang Holding   1,459 
 651,543      CK Hutchison Holdings Ltd   8,177 
 53,953      CK Infrastructure Holdings Ltd   453 
 525,454      CLP Holdings Ltd   5,556 
 85,463      First Pacific Co   63 
 95,803      Galaxy Entertainment Group Ltd   581 
 1,063,434   *  Global Brands Group Holding Ltd   112 

187

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 553,000   *  Glorious Property Holdings Ltd  $60 
 35,000      Hang Lung Group Ltd   145 
 848,576      Hang Lung Properties Ltd   2,121 
 377,172      Hang Seng Bank Ltd   7,891 
 527,282      Henderson Land Development Co Ltd   2,940 
 112,500   e,g  HK Electric Investments & HK Electric Investments Ltd   103 
 140,660      HKT Trust and HKT Ltd   184 
 2,871,299      Hong Kong & China Gas Ltd   5,400 
 318,988      Hong Kong Electric Holdings Ltd   2,816 
 147,132      Hong Kong Exchanges and Clearing Ltd   3,801 
 222,500      Hongkong Land Holdings Ltd   1,637 
 7,000      Hopewell Highway Infrastructure Ltd   4 
 226,347      Hutchison Port Holdings Trust   97 
 74,760      Hysan Development Co Ltd   357 
 8,500      Jardine Matheson Holdings Ltd   546 
 8,800      Jardine Strategic Holdings Ltd   367 
 48,000      Kerry Logistics Network Ltd   71 
 603,174      Kerry Properties Ltd   2,048 
 1,305,027      Li & Fung Ltd   475 
 164,526      Link REIT   1,252 
 1,046,408      Melco Crown Entertainment Ltd (ADR)   23,492 
 387,112      MTR Corp   2,178 
 1,828,438      New World Development Co Ltd   2,318 
 37,800   *,e  Noble Group Ltd   13 
 51,638      NWS Holdings Ltd   102 
 171,262      PCCW Ltd   97 
 753,133   e  Sands China Ltd   3,447 
 43,992      Shangri-La Asia Ltd   75 
 158,000   *  Shun TAK Holdings Ltd   73 
 127,882      Sino Land Co   210 
 80,611      SJM Holdings Ltd   85 
 512,386      Sun Hung Kai Properties Ltd   7,527 
 116,628      Swire Pacific Ltd (Class A)   1,138 
 2,056,600   e  Swire Properties Ltd   6,779 
 52,902      Techtronic Industries Co   243 
 306,500   g  WH Group Ltd   309 
 444,053      Wharf Holdings Ltd   3,674 
 32,334      Wheelock & Co Ltd   244 
 4,000,000      Xinyi Glass Holdings Co Ltd   3,959 
 28,912      Yue Yuen Industrial Holdings   120 
        TOTAL HONG KONG   159,138 
                
HUNGARY - 0.1%
 70,000      MOL Hungarian Oil and Gas plc   5,498 
 213,000      Richter Gedeon Rt   5,569 
        TOTAL HUNGARY   11,067 
                
INDIA - 0.3%
 387,000      Asian Paints Ltd   6,596 
 160,000      Axis Bank Ltd   1,280 
 536,200      Bharat Petroleum Corp Ltd   5,302 
 167,000      Container Corp Of India Ltd   2,959 
 322,531   *  DEN Networks Ltd   388 

188

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 415,000      HDFC Bank Ltd  $10,601 
 1,050,000      Hindustan Petroleum Corp Ltd   8,289 
 324,292      ICICI Bank Ltd (ADR)   2,909 
 880,387      Indiabulls Housing Finance Ltd   14,643 
 340,382   *  IVRCL Infrastructures & Projects Ltd   24 
 1,825,000   *  Jain Irrigation Systems Ltd   2,896 
 90,834   *  Prestige Estates Projects Ltd   355 
 1,288,028   *  Puravankara Projects Ltd   1,250 
 111,069   *  Reliance Industries Ltd   2,370 
 130,351      Shriram Transport Finance Co Ltd   2,014 
 16,471,341   *  Unitech Ltd   1,513 
 65,000      Yes Bank Ltd   1,471 
        TOTAL INDIA   64,860 
                
INDONESIA - 0.0%
 1,325,600      PT Matahari Department Store Tbk   1,410 
        TOTAL INDONESIA   1,410 
                
IRELAND - 0.9%
 226,067   *  AerCap Holdings NV   10,496 
 4,578,060   e  Allied Irish Banks plc   25,883 
 11,465,431   *  Bank of Ireland   3,012 
 1,371,833      CRH plc   48,622 
 2,902,262      Green REIT plc   4,717 
 8,074,391      Hibernia REIT plc   12,681 
 147,992   *,m  Irish Bank Resolution Corp Ltd   0 
 18,080      James Hardie Industries NV   285 
 245,893      Kerry Group plc (Class A)   21,156 
 416,476      Keywords Studios plc   4,049 
 5,230      Paddy Power plc   558 
 4,593   *  Ryanair Holdings plc   94 
 220,274   *  Ryanair Holdings plc (ADR)   23,704 
 577,088      Smurfit Kappa Group plc   17,964 
        TOTAL IRELAND   173,221 
                
ISRAEL - 0.0%
 2,832      Azrieli Group   157 
 154,907      Bank Hapoalim Ltd   1,045 
 198,647      Bank Leumi Le-Israel   965 
 136,399      Bezeq Israeli Telecommunication Corp Ltd   226 
 8,701   *  Check Point Software Technologies   949 
 1,591      Elbit Systems Ltd   196 
 2,568      Frutarom Industries Ltd   179 
 34,857      Israel Chemicals Ltd   165 
 23,391      Mizrahi Tefahot Bank Ltd   425 
 4,130      Nice Systems Ltd   326 
 81,498      Teva Pharmaceutical Industries Ltd (ADR)   2,707 
        TOTAL ISRAEL   7,340 
                
ITALY - 0.9%
 4,000,000      A2A S.p.A.   6,651 
 83,211      Assicurazioni Generali S.p.A.   1,373 
 30,145      Autostrade S.p.A.   848 

189

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 12,707,953      Banca Intesa S.p.A.  $40,422 
 63,969      Banca Intesa S.p.A. RSP   190 
 200,000      Beni Stabili S.p.A.   144 
 144,000      Brunello Cucinelli S.p.A   3,784 
 879,796      Davide Campari-Milano S.p.A   6,220 
 1,022,838      Enel S.p.A.   5,486 
 428,582      ENI S.p.A.   6,441 
 8,234      Ferrari NV   708 
 27,209      Finmeccanica S.p.A.   453 
 70,681   e  Fondiaria-Sai S.p.A   155 
 11,335      Luxottica Group S.p.A.   660 
 2,065,670      Mediobanca S.p.A.   20,436 
 691,637      Moncler S.p.A   16,225 
 1,351,730   g  OVS S.p.A   9,624 
 33,389   g  Poste Italiane S.p.A   229 
 5,988,800      Prada S.p.A   22,267 
 14,009      Prysmian S.p.A.   413 
 6,970      Recordati S.p.A.   283 
 37,456   *,e  Saipem S.p.A   139 
 157,683      Snam Rete Gas S.p.A.   688 
 420,639      Telecom Italia RSP   311 
 778,029   *  Telecom Italia S.p.A.   720 
 92,342      Terna Rete Elettrica Nazionale S.p.A.   499 
 1,079,920   *  UniCredit S.p.A   20,228 
 304,209   *,e  Yoox S.p.A   8,429 
        TOTAL ITALY   174,026 
                
JAPAN - 7.8%
 1,200      ABC-Mart, Inc   71 
 1,284,400   *  Acom Co Ltd   5,879 
 370      Activia Properties Inc   1,581 
 8      Advance Residence Investment Corp   20 
 25,846      Aeon Co Ltd   393 
 22,852      AEON Financial Service Co Ltd   485 
 12,697      Aeon Mall Co Ltd   251 
 867   e  AEON REIT Investment Corp   955 
 6,500      Air Water, Inc   120 
 332,690      Aisin Seiki Co Ltd   17,102 
 103,175      Ajinomoto Co, Inc   2,231 
 25,905      Alfresa Holdings Corp   501 
 283,524      All Nippon Airways Co Ltd   987 
 616,729      Alps Electric Co Ltd   17,915 
 14,344      Amada Co Ltd   166 
 49,848      Aozora Bank Ltd   190 
 83,331      Asahi Breweries Ltd   3,138 
 43,401      Asahi Glass Co Ltd   1,833 
 311,134      Asahi Kasei Corp   3,357 
 168,200      Ashikaga Holdings Co Ltd   628 
 6,700      Asics Corp   124 
 88,405      Astellas Pharma, Inc   1,084 
 193,105      Bank of Kyoto Ltd   1,830 
 2,953      Benesse Holdings Inc   112 
 175      BLife Investment Corp   415 

190

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 138,504      Bridgestone Corp  $5,988 
 10,185      Brother Industries Ltd   236 
 16,200      Calbee, Inc   637 
 214,097      Canon, Inc   7,283 
 7,233      Casio Computer Co Ltd   111 
 34,144      Central Japan Railway Co   5,576 
 580,562      Chiba Bank Ltd   4,225 
 198,466      Chubu Electric Power Co, Inc   2,639 
 80,558      Chugai Pharmaceutical Co Ltd   3,018 
 36,500      Chugoku Bank Ltd   548 
 62,066      Chugoku Electric Power Co, Inc   685 
 5,100      Coca-Cola West Japan Co Ltd   148 
 252,000      Concordia Financial Group Ltd   1,277 
 240,000      Cosmo Energy Holdings Co Ltd   3,787 
 5,568      Credit Saison Co Ltd   109 
 10,000      CyberAgent, Inc   311 
 140,300   *,e  CYBERDYNE, Inc   1,870 
 21,076      Dai Nippon Printing Co Ltd   235 
 12,246      Daicel Chemical Industries Ltd   153 
 1,327,000      Dai-ichi Mutual Life Insurance Co   24,087 
 46,594      Daiichi Sankyo Co Ltd   1,100 
 126,955      Daikin Industries Ltd   13,025 
 15,017      Daito Trust Construction Co Ltd   2,340 
 23,456      Daiwa House Industry Co Ltd   803 
 681,480      Daiwa Securities Group, Inc   4,058 
 22,400      Dena Co Ltd   503 
 96,887      Denso Corp   4,112 
 44,155      Dentsu, Inc   2,118 
 1,200      Disco Corp   192 
 5,033      Don Quijote Co Ltd   191 
 164,868      East Japan Railway Co   15,794 
 10,828      Eisai Co Ltd   599 
 28,093      Electric Power Development Co   696 
 3,444      FamilyMart Co Ltd   197 
 42,043      Fanuc Ltd   8,137 
 11,319      Fast Retailing Co Ltd   3,785 
 1,173,822      Fuji Electric Holdings Co Ltd   6,209 
 117,480      Fuji Heavy Industries Ltd   3,983 
 348,793      Fujifilm Holdings Corp   12,577 
 1,404,991      Fujitsu Ltd   10,392 
 165,733      Fukuoka Financial Group, Inc   791 
 1,018      GLP J-Reit   1,096 
 100,000      GMO internet, Inc   1,302 
 132,600   e  GMO Payment Gateway, Inc   7,349 
 88,173      Hachijuni Bank Ltd   562 
 9,100      Hakuhodo DY Holdings, Inc   121 
 5,900      Hamamatsu Photonics KK   182 
 70,100      Hankyu Hanshin Holdings, Inc   2,525 
 832      Hikari Tsushin, Inc   88 
 70,382      Hino Motors Ltd   786 
 1,332      Hirose Electric Co Ltd   191 
 111,000      Hiroshima Bank Ltd   494 
 8,075      Hisamitsu Pharmaceutical Co, Inc   387 

191

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 685,950      Hitachi Capital Corp  $16,540 
 21,370      Hitachi Chemical Co Ltd   641 
 4,533      Hitachi Construction Machinery Co Ltd   114 
 125,200      Hitachi High-Technologies Corp   4,876 
 6,797,842      Hitachi Ltd   41,913 
 7,900      Hitachi Metals Ltd   110 
 30,000      Hokuriku Electric Power Co   271 
 333,996      Honda Motor Co Ltd   9,151 
 11,212      Hoshizaki Electric Co Ltd   1,017 
 84,153      Hoya Corp   4,381 
 65      Hulic Reit, Inc   101 
 3,800      Idemitsu Kosan Co Ltd   108 
 6,029      Iida Group Holdings Co Ltd   101 
 574,800   e  Infomart Corp   4,374 
 38,310      Inpex Holdings, Inc   370 
 300      Invesco Office J-Reit, Inc   280 
 70,481      Isetan Mitsukoshi Holdings Ltd   709 
 6,473,748   *  Ishikawajima-Harima Heavy Industries Co Ltd   22,123 
 852,200   e  Istyle, Inc   6,753 
 22,800      Isuzu Motors Ltd   283 
 281,070      Itochu Corp   4,185 
 16,800      Itochu Techno-Science Corp   589 
 103,000      Itoham Yonekyu Holdings, Inc   935 
 264,700      J Front Retailing Co Ltd   4,079 
 25,915      Japan Airlines Co Ltd   803 
 2,003      Japan Airport Terminal Co Ltd   77 
 16,146      Japan Post Bank Co Ltd   207 
 18,340      Japan Post Holdings Co Ltd   228 
 88      Japan Prime Realty Investment Corp   305 
 88      Japan Real Estate Investment Corp   437 
 1,793      Japan Rental Housing Investments, Inc   1,323 
 674      Japan Retail Fund Investment Corp   1,244 
 371,140      Japan Tobacco, Inc   13,045 
 40,604      JFE Holdings, Inc   707 
 39,778      JGC Corp   648 
 8,086      JSR Corp   140 
 349,103      JTEKT Corp   5,137 
 2,247,088      JX Holdings, Inc   9,832 
 370,000      kabu.com Securities Co Ltd   1,248 
 207,372      Kajima Corp   1,753 
 6,134      Kakaku.com, Inc   88 
 53,372      Kamigumi Co Ltd   561 
 11,129      Kaneka Corp   85 
 291,874      Kansai Electric Power Co, Inc   4,025 
 8,114      Kansai Paint Co Ltd   187 
 294,085      Kao Corp   17,486 
 461,510      Kawasaki Heavy Industries Ltd   1,374 
 375,100      KDDI Corp   9,920 
 21,000      Keihan Electric Railway Co Ltd   134 
 97,622      Keihin Electric Express Railway Co Ltd   1,177 
 164,123      Keio Corp   1,376 
 5,813      Keisei Electric Railway Co Ltd   156 
 1,488      Kenedix Realty Investment Corp   7,934 

192

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 281      Kenedix Retail REIT Corp  $593 
 246,000      Kenedix, Inc   1,164 
 19,400      Keyence Corp   8,540 
 6,195      Kikkoman Corp   198 
 160,914      Kintetsu Corp   621 
 317,049      Kirin Brewery Co Ltd   6,467 
 62,808   *  Kobe Steel Ltd   648 
 4,700      Koito Manufacturing Co Ltd   243 
 138,036      Komatsu Ltd   3,543 
 3,586      Konami Corp   200 
 520,220      Konica Minolta Holdings, Inc   4,340 
 1,328      Kose Corp   146 
 1,141,607      Kubota Corp   19,296 
 14,674      Kuraray Co Ltd   267 
 4,177      Kurita Water Industries Ltd   114 
 13,400      Kyocera Corp   779 
 230,789      Kyowa Hakko Kogyo Co Ltd   4,292 
 109,635      Kyushu Electric Power Co, Inc   1,332 
 74,500      Kyushu Financial Group, Inc   472 
 6,700      Kyushu Railway Co   217 
 2,080      Lawson, Inc   146 
 1,800   *,e  LINE Corp   62 
 9,300      Lion Corp   193 
 10,864      LIXIL Group Corp   272 
 53,040      M3, Inc   1,463 
 14,005      Mabuchi Motor Co Ltd   700 
 290,000      Maeda Corp   3,200 
 54,072      Makita Corp   2,002 
 801,272      Marubeni Corp   5,191 
 8,509      Marui Co Ltd   126 
 12,396      Maruichi Steel Tube Ltd   361 
 1,222,100      Matsui Securities Co Ltd   9,992 
 260,155      Matsushita Electric Industrial Co Ltd   3,545 
 208,815      Mazda Motor Corp   2,934 
 2,700      McDonald’s Holdings Co Japan Ltd   104 
 6,859      Mediceo Paltac Holdings Co Ltd   127 
 281,400      Megachips Corp   6,957 
 29,400      MEIJI Holdings Co Ltd   2,384 
 130      MID Reit, Inc   389 
 70,900      Minebea Co Ltd   1,147 
 19,941      Miraca Holdings, Inc   898 
 141,300      MISUMI Group, Inc   3,239 
 300,119      Mitsubishi Chemical Holdings Corp   2,500 
 321,811      Mitsubishi Corp   6,765 
 429,214      Mitsubishi Electric Corp   6,208 
 254,758      Mitsubishi Estate Co Ltd   4,762 
 46,080      Mitsubishi Gas Chemical Co, Inc   979 
 1,988,150      Mitsubishi Heavy Industries Ltd   8,186 
 164,553      Mitsubishi Materials Corp   4,994 
 137,900      Mitsubishi Motors Corp   912 
 4,282,496      Mitsubishi UFJ Financial Group, Inc   28,886 
 19,500      Mitsubishi UFJ Lease & Finance Co Ltd   107 
 405,920      Mitsui & Co Ltd   5,811 

193

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 198,140      Mitsui Chemicals, Inc  $1,055 
 302,129      Mitsui Fudosan Co Ltd   7,239 
 48,499      Mitsui OSK Lines Ltd   143 
 104,809      Mitsui Sumitomo Insurance Group Holdings, Inc   3,535 
 71,575      Mitsui Trust Holdings, Inc   2,571 
 1,600      Mixi Inc   89 
 4,898,556      Mizuho Financial Group, Inc   8,981 
 516,800   e  MonotaRO Co Ltd   16,702 
 101      Mori Hills REIT Investment Corp   124 
 72      Mori Trust Sogo Reit, Inc   116 
 137,635      Murata Manufacturing Co Ltd   21,012 
 4,739      Nabtesco Corp   138 
 188,000      Nagoya Railroad Co Ltd   877 
 8,106      Namco Bandai Holdings, Inc   277 
 628,615      NEC Corp   1,671 
 7,900      Nexon Co Ltd   157 
 183,131      NGK Insulators Ltd   3,671 
 7,093      NGK Spark Plug Co Ltd   152 
 47,917      Nidec Corp   4,923 
 14,581      Nikon Corp   234 
 151,597      Nintendo Co Ltd   50,753 
 181   e  Nippon Building Fund, Inc   924 
 3,463      Nippon Electric Glass Co Ltd   126 
 35,441      Nippon Express Co Ltd   222 
 6,944      Nippon Meat Packers, Inc   211 
 6,926   e  Nippon Paint Co Ltd   263 
 878      Nippon ProLogis REIT, Inc   1,869 
 61,501      Nippon Steel Corp   1,394 
 686,800      Nippon Telegraph & Telephone Corp   32,420 
 2,439,673   *  Nippon Yusen Kabushiki Kaisha   4,561 
 5,100      Nissan Chemical Industries Ltd   169 
 1,189,062      Nissan Motor Co Ltd   11,873 
 8,631      Nisshin Seifun Group, Inc   142 
 2,445      Nissin Food Products Co Ltd   153 
 3,300      Nitori Co Ltd   442 
 241,637      Nitto Denko Corp   19,955 
 198,253      NKSJ Holdings, Inc   7,695 
 204,155      NOK Corp   4,334 
 3,517,180      Nomura Holdings, Inc   21,210 
 5,074      Nomura Real Estate Holdings, Inc   100 
 422      Nomura Real Estate Master Fund, Inc   577 
 28,900      Nomura Research Institute Ltd   1,142 
 87,535      NSK Ltd   1,102 
 240,000      NTN Corp   1,117 
 277,500      NTT Data Corp   3,096 
 1,103,148      NTT DoCoMo, Inc   26,090 
 136,796      Obayashi Corp   1,612 
 2,800      Obic Co Ltd   172 
 60,149      Odakyu Electric Railway Co Ltd   1,216 
 184,999      OJI Paper Co Ltd   958 
 174,342      Olympus Corp   6,388 
 160,013      Omron Corp   6,965 
 17,168      Ono Pharmaceutical Co Ltd   374 

194

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,503      Oracle Corp Japan  $98 
 64,600      Oriental Land Co Ltd   4,378 
 2,325,825      ORIX Corp   36,189 
 187      Orix JREIT, Inc   276 
 1,279,106      Osaka Gas Co Ltd   5,238 
 111,100      Osaka Securities Exchange Co Ltd   2,020 
 5,600      Otsuka Corp   348 
 129,220      Otsuka Holdings KK   5,517 
 222,100      Paltac Corp   7,485 
 9,900      Park24 Co Ltd   252 
 52,000   *  Pola Orbis Holdings, Inc   1,376 
 35      Premier Investment Co   34 
 283,400      Rakuten, Inc   3,344 
 120,039      Recruit Holdings Co Ltd   2,066 
 683,272      Resona Holdings, Inc   3,774 
 28,782      Ricoh Co Ltd   255 
 1,412      Rinnai Corp   132 
 147,624      Rohm Co Ltd   11,382 
 1,044      Ryohin Keikaku Co Ltd   261 
 1,880      Sankyo Co Ltd   64 
 111,700      Santen Pharmaceutical Co Ltd   1,517 
 56,000      Sapporo Holdings Ltd   1,544 
 7,191      SBI Holdings, Inc   98 
 46,834      Secom Co Ltd   3,563 
 6,252      Sega Sammy Holdings, Inc   84 
 7,800      Seibu Holdings, Inc   145 
 12,000      Seiko Epson Corp   268 
 400,000      Seino Holdings Corp   5,333 
 100,351      Sekisui Chemical Co Ltd   1,801 
 1,260,120      Sekisui House Ltd   22,271 
 151,800      Seria Co Ltd   7,334 
 224,412      Seven & I Holdings Co Ltd   9,260 
 23,100      Seven Bank Ltd   83 
 59,000   *,e  Sharp Corp   219 
 10,647      Shimadzu Corp   203 
 5,527      Shimamura Co Ltd   678 
 3,092      Shimano, Inc   491 
 1,609,962      Shimizu Corp   17,107 
 177,300      Shin-Etsu Chemical Co Ltd   16,137 
 2,029,778      Shinsei Bank Ltd   3,556 
 84,537      Shionogi & Co Ltd   4,714 
 15,293      Shiseido Co Ltd   545 
 121,301      Shizuoka Bank Ltd   1,100 
 85,828      Shoei Co Ltd   879 
 7,922      Showa Shell Sekiyu KK   74 
 12,391      SMC Corp   3,788 
 262,500      SMS Co Ltd   7,979 
 349,554      Softbank Corp   28,415 
 3,000      Sohgo Security Services Co Ltd   135 
 2,400,000      Sojitz Holdings Corp   5,908 
 2,774,360      Sony Corp   105,824 
 134,428      Sony Financial Holdings, Inc   2,299 
 215,915      Stanley Electric Co Ltd   6,543 

195

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,030      Star Asia Investment Corp  $985 
 8,000      Start Today Co Ltd   197 
 725,883      Sumitomo Chemical Co Ltd   4,195 
 191,463      Sumitomo Corp   2,497 
 6,663   e  Sumitomo Dainippon Pharma Co Ltd   91 
 162,924      Sumitomo Electric Industries Ltd   2,520 
 1,647,625      Sumitomo Heavy Industries Ltd   10,933 
 19,631      Sumitomo Metal Mining Co Ltd   262 
 900,590      Sumitomo Mitsui Financial Group, Inc   35,163 
 115,421      Sumitomo Realty & Development Co Ltd   3,574 
 7,463   e  Sumitomo Rubber Industries, Inc   126 
 2,600      Sundrug Co Ltd   97 
 5,800      Suntory Beverage & Food Ltd   270 
 87,076      Suruga Bank Ltd   2,118 
 3,207      Suzuken Co Ltd   107 
 44,134      Suzuki Motor Corp   2,102 
 225,988      Sysmex Corp   13,526 
 152,331      T&D Holdings, Inc   2,329 
 249,000      Taiheiyo Cement Corp   911 
 221,368      Taisei Corp   2,025 
 4,456      Taisho Pharmaceutical Holdings Co Ltd   340 
 108,885      Taiyo Nippon Sanso Corp   1,228 
 12,117      Takashimaya Co Ltd   116 
 421,748      Takeda Pharmaceutical Co Ltd   21,412 
 47,081      Tanabe Seiyaku Co Ltd   1,089 
 5,156      TDK Corp   341 
 77,922      Teijin Ltd   1,504 
 29,041      Terumo Corp   1,146 
 51,394      THK Co Ltd   1,465 
 244,878      Tobu Railway Co Ltd   1,338 
 4,675      Toho Co Ltd   144 
 14,000      Toho Gas Co Ltd   102 
 99,315      Tohoku Electric Power Co, Inc   1,376 
 278,264      Tokio Marine Holdings, Inc   11,579 
 205,600   *  Tokyo Base Co Ltd   8,293 
 425,168   *  Tokyo Electric Power Co, Inc   1,755 
 6,516      Tokyo Electron Ltd   881 
 963,924      Tokyo Gas Co Ltd   5,021 
 39,600      Tokyo Tatemono Co Ltd   521 
 380,852      Tokyu Corp   2,910 
 18,100      Tokyu Fudosan Holdings Corp   107 
 77      Tokyu REIT, Inc   93 
 76,000      Topcon Corp   1,313 
 21,734      Toppan Printing Co Ltd   239 
 315,664      Toray Industries, Inc   2,648 
 163,554   *,e  Toshiba Corp   396 
 924,000      Tosoh Corp   9,523 
 6,142      Toto Ltd   235 
 6,739      Toyo Seikan Kaisha Ltd   114 
 3,699      Toyo Suisan Kaisha Ltd   142 
 2,797      Toyoda Gosei Co Ltd   67 
 106,693      Toyota Industries Corp   5,643 
 1,428,017      Toyota Motor Corp   75,062 

196

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 9,094      Toyota Tsusho Corp  $273 
 4,828      Trend Micro, Inc   250 
 200,000      TS Tech Co Ltd   5,845 
 5,100      Tsumura & Co   207 
 1,400      Tsuruha Holdings, Inc   149 
 31,312      Uni-Charm Corp   788 
 286      United Urban Investment Corp   408 
 9,130      USS Co Ltd   182 
 106,343   *,e  Wash House Co Ltd   3,870 
 26,407      West Japan Railway Co   1,868 
 305,238      Yahoo! Japan Corp   1,327 
 3,704      Yakult Honsha Co Ltd   252 
 25,431   e  Yamada Denki Co Ltd   126 
 42,406      Yamaguchi Financial Group, Inc   514 
 7,008      Yamaha Corp   243 
 11,691      Yamaha Motor Co Ltd   303 
 14,155      Yamato Transport Co Ltd   288 
 5,653      Yamazaki Baking Co Ltd   113 
 10,324      Yaskawa Electric Corp   220 
 9,310      Yokogawa Electric Corp   150 
 4,600      Yokohama Rubber Co Ltd   93 
        TOTAL JAPAN   1,492,947 
                
JERSEY, C.I. - 0.0%
 6,179      Randgold Resources Ltd   548 
        TOTAL JERSEY, C.I.   548 
                
JORDAN - 0.0%
 10,048   e  Hikma Pharmaceuticals plc   192 
        TOTAL JORDAN   192 
                
KOREA, REPUBLIC OF - 0.2%
 29,000      Hanssem Co Ltd   4,664 
 97,100      Hynix Semiconductor, Inc   5,717 
 137,153   *  ING Life Insurance Korea Ltd   4,076 
 86,045   *  Osstem Implant Co Ltd   3,942 
 10,762      Samsung Electronics Co Ltd   22,415 
 20,000      Samsung Fire & Marine Insurance Co Ltd   4,923 
        TOTAL KOREA, REPUBLIC OF   45,737 
                
LUXEMBOURG - 0.3%
 90,000      APERAM   4,179 
 1,368,355   *  ArcelorMittal   31,038 
 412,784   *  ArcelorMittal (ADR)   9,383 
 2,436,775      B&M European Value Retail S.A.   10,758 
 737      Eurofins Scientific   416 
 4,407   e  Millicom International Cellular S.A.   261 
 48,509      RTL Group   3,665 
 24,296      SES Global S.A.   569 
 32,555      Tenaris S.A.   508 
        TOTAL LUXEMBOURG   60,777 

197

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
MACAU - 0.0%
 32,992   e  MGM China Holdings Ltd  $74 
 62,183      Wynn Macau Ltd   145 
        TOTAL MACAU   219 
                
MALAYSIA - 0.1%
 8,333,325      Karex BHD   3,300 
 1,266,980      Public Bank BHD   5,997 
 45,306   *  YNH Property BHD   16 
        TOTAL MALAYSIA   9,313 
                
MEXICO - 0.0%
 2,149,200   *  Becle SAB de C.V.   3,663 
 13,925      Fresnillo plc   270 
 227,257      Infraestructura Energetica ,NV SAB de C.V.   1,211 
        TOTAL MEXICO   5,144 
                
NETHERLANDS - 2.5%
 1,776,504   g  ABN AMRO Group NV (ADR)   47,063 
 117,061      Aegon NV   599 
 62,087      Akzo Nobel NV   5,400 
 26,103   *  Altice NV (Class A)   601 
 5,770   *  Altice NV (Class B)   133 
 617,578      ASML Holding NV   80,503 
 6,072      Boskalis Westminster   197 
 12,100      DSM NV   880 
 3,000      Eurocommercial Properties NV   120 
 829,285   g  Euronext NV   43,069 
 117,181      EXOR NV   6,359 
 5,626      Gemalto NV   337 
 6,653      Heineken Holding NV   610 
 79,359      Heineken NV   7,716 
 10,106,877      ING Groep NV   174,472 
 817,233      Koninklijke Ahold Delhaize NV   15,599 
 438,793      Koninklijke Philips Electronics NV   15,620 
 5,004      Koninklijke Vopak NV   232 
 20,034      NN Group NV   711 
 23,257   *  NXP Semiconductors NV   2,546 
 8,081      Randstad Holdings NV   471 
 1,070,403      Royal Dutch Shell plc (A Shares)   28,439 
 1,726,618      Royal Dutch Shell plc (B Shares)   46,354 
 828,874      Royal KPN NV   2,653 
 3,000      Wereldhave NV   147 
 190,396      Wolters Kluwer NV   8,052 
        TOTAL NETHERLANDS   488,883 
                
NEW ZEALAND - 0.1%
 4,000,000      Air New Zealand Ltd   9,558 
 39,469      Auckland International Airport Ltd   206 
 23,643      Contact Energy Ltd   90 
 27,708      Fletcher Building Ltd   162 
 79,114      Kiwi Property Group Ltd   82 
 50,913   *  Meridian Energy Ltd   109 

198

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 28,421      Mighty River Power Ltd  $69 
 15,929      Ryman Healthcare Ltd   97 
 67,966      Telecom Corp of New Zealand Ltd   188 
        TOTAL NEW ZEALAND   10,561 
                
NORWAY - 0.4%
 910,200      Aker BP ASA   13,478 
 926,663      DNB NOR Holding ASA   15,776 
 12,044      Gjensidige Forsikring BA   206 
 93,510      Norsk Hydro ASA   517 
 56,381      Orkla ASA   573 
 25,084      PAN Fish ASA   429 
 5,366      Schibsted ASA   130 
 6,069      Schibsted ASA (B Shares)   134 
 1,988,983      Statoil ASA   32,982 
 50,699      Telenor ASA   841 
 281,200      TGS Nopec Geophysical Co ASA   5,769 
 12,148      Yara International ASA   457 
        TOTAL NORWAY   71,292 
                
PERU - 0.0%
 83,223      Southern Copper Corp (NY)   2,882 
        TOTAL PERU   2,882 
                
PHILIPPINES - 0.2%
 61,305,915      Megaworld Corp   5,220 
 5,300,354      Metropolitan Bank & Trust   9,183 
 8,245,950      Robinsons Retail Holdings, Inc   14,203 
        TOTAL PHILIPPINES   28,606 
                
POLAND - 0.0%
 150,000      KGHM Polska Miedz S.A.   4,474 
        TOTAL POLAND   4,474 
                
PORTUGAL - 0.1%
 160,730      Energias de Portugal S.A.   526 
 32,877      Galp Energia SGPS S.A.   498 
 662,694      Jeronimo Martins SGPS S.A.   12,938 
        TOTAL PORTUGAL   13,962 
                
RUSSIA - 0.0%
 419,800      Sberbank of Russian Federation (ADR)   4,350 
        TOTAL RUSSIA   4,350 
                
SINGAPORE - 0.4%
 174,345      Ascendas REIT   330 
 179,597   e  CapitaCommercial Trust   216 
 776,206      CapitaLand Ltd   1,972 
 519,317      CapitaMall Trust   745 
 155,200      City Developments Ltd   1,209 
 83,148      ComfortDelgro Corp Ltd   139 
 1,604,272      DBS Group Holdings Ltd   24,146 

199

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 249,492      Genting Singapore plc  $197 
 107,895      Global Logistic Properties   224 
 286,765      Golden Agri-Resources Ltd   78 
 3,766      Jardine Cycle & Carriage Ltd   121 
 339,468      Keppel Corp Ltd   1,550 
 54,756      Keppel Infrastructure Trust   23 
 79,650      K-REIT Asia   66 
 1,458,648      Oversea-Chinese Banking Corp   11,426 
 39,948      SembCorp Industries Ltd   89 
 286,485   e  SembCorp Marine Ltd   342 
 122,284      Singapore Airlines Ltd   899 
 26,900      Singapore Airport Terminal Services Ltd   100 
 463,543      Singapore Exchange Ltd   2,470 
 434,025   e  Singapore Press Holdings Ltd   1,018 
 396,807      Singapore Technologies Engineering Ltd   1,060 
 2,797,291      Singapore Telecommunications Ltd   7,900 
 26,330   e  StarHub Ltd   52 
 151,800      Suntec Real Estate Investment Trust   206 
 604,962      United Overseas Bank Ltd   10,157 
 66,972      UOL Group Ltd   372 
 300,000      Venture Corp Ltd   2,626 
 68,262      Wilmar International Ltd   166 
        TOTAL SINGAPORE   69,899 
                
SOUTH AFRICA - 0.2%
 42,349      Investec plc   316 
 330,000   *  Kumba Iron Ore Ltd   4,312 
 24,137   e  Mediclinic International plc   233 
 564,228      Mondi plc   14,795 
 32,300      Naspers Ltd (N Shares)   6,361 
 1,014,797      Steinhoff International Holdings NV (GR)   5,182 
        TOTAL SOUTH AFRICA   31,199 
                
SPAIN - 0.9%
 46,588      Abertis Infraestructuras S.A. (Continuous)   864 
 15,710      ACS Actividades Construccion y Servicios S.A.   607 
 4,466   g  Aena S.A.   872 
 479,091   e  Amadeus IT Holding S.A.   28,638 
 711,582      Banco Bilbao Vizcaya Argentaria S.A.   5,927 
 352,700      Banco de Sabadell S.A.   718 
 2,826,208      Banco Santander S.A.   18,766 
 67,351      Bankia S.A.   326 
 46,106   e  Bankinter S.A.   425 
 3,923,226      CaixaBank S.A.   18,754 
 1,572,766      Corp Mapfre S.A.   5,505 
 943,330   e  Distribuidora Internacional de Alimentacion S.A.   5,887 
 15,156   e  Enagas   425 
 715,715   e  Endesa S.A.   16,511 
 32,886      Ferrovial S.A.   731 
 16,015   e  Gamesa Corp Tecnologica S.A.   343 
 23,594   e  Gas Natural SDG S.A.   552 
 65,170      Grifols S.A.   1,817 
 2,267,003      Iberdrola S.A.   17,965 

200

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 494,971      Industria De Diseno Textil S.A.  $19,009 
 108,528   *,e,m  Let’s GOWEX S.A.   1 
 29,463   e  Red Electrica Corp S.A.   616 
 268,454      Repsol YPF S.A.   4,116 
 235,400   e  Tecnicas Reunidas S.A.   9,122 
 1,028,605      Telefonica S.A.   10,648 
 338      Zardoya Otis S.A.   3 
        TOTAL SPAIN   169,148 
                
SWEDEN - 0.6%
 20,117      Alfa Laval AB   412 
 307,409      Assa Abloy AB   6,776 
 45,621      Atlas Copco AB (A Shares)   1,754 
 125,910      Atlas Copco AB (B Shares)   4,352 
 24,322   e  Autoliv, Inc   2,671 
 392,311      Boliden AB   10,724 
 10,000      Castellum AB   147 
 16,330      Electrolux AB (Series B)   535 
 205,053      Ericsson (LM) (B Shares)   1,474 
 40,648   *  Essity AB   1,112 
 13,081      Fabege AB   252 
 22,000   *  Fastighets AB Balder   533 
 12,317      Getinge AB (B Shares)   241 
 63,880   e  Hennes & Mauritz AB (B Shares)   1,593 
 302,418   e  Hexagon AB (B Shares)   14,368 
 27,654      Husqvarna AB (B Shares)   275 
 5,568   e  ICA Gruppen AB   207 
 11,987      Industrivarden AB   288 
 413,283   *,e  Intrum Justitia AB   14,035 
 302,217      Investment AB Kinnevik (B Shares)   9,265 
 30,577      Investor AB (B Shares)   1,475 
 200,000      JM AB   7,086 
 17,991      Kungsleden AB   110 
 2,687      Lundbergs AB (B Shares)   212 
 150,179   *  Lundin Petroleum AB   2,895 
 204,296      Nordea Bank AB   2,602 
 75,956      Sandvik AB   1,196 
 11,712   *  SAS AB   26 
 21,266      Securitas AB (B Shares)   359 
 343,981      Skandinaviska Enskilda Banken AB (Class A)   4,164 
 23,134      Skanska AB (B Shares)   549 
 25,636      SKF AB (B Shares)   521 
 102,089      Svenska Handelsbanken AB   1,462 
 219,167      Swedbank AB (A Shares)   5,349 
 12,276      Swedish Match AB   432 
 24,491      Tele2 AB (B Shares)   257 
 176,012      TeliaSonera AB   811 
 364,233      Volvo AB (B Shares)   6,211 
        TOTAL SWEDEN   106,731 
                
SWITZERLAND - 2.6%
 609,545      ABB Ltd   15,130 
 366,841      Adecco S.A.   27,947 

201

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 55,421      Baloise Holding AG.  $8,585 
 155      Barry Callebaut AG.   213 
 310,125      Cie Financiere Richemont S.A.   25,662 
 12,605      Coca-Cola HBC AG.   371 
 439,758      Credit Suisse Group   6,399 
 2,401   *  Dufry Group   394 
 569      EMS-Chemie Holding AG.   420 
 36,000      Flughafen Zuerich AG.   8,842 
 2,526      Geberit AG.   1,180 
 8,000      Georg Fischer AG.   7,760 
 622      Givaudan S.A.   1,246 
 7,954,181      Glencore Xstrata plc   29,806 
 30,728      Holcim Ltd   1,766 
 8,415   *  Idorsia Ltd   159 
 15,077      Julius Baer Group Ltd   797 
 3,553      Kuehne & Nagel International AG.   594 
 69      Lindt & Spruengli AG.   400 
 7      Lindt & Spruengli AG. (Registered)   488 
 382,828      Lonza Group AG.   82,927 
 977,017      Nestle S.A.   85,213 
 1,097,122      Novartis AG.   91,639 
 2,453      Pargesa Holding S.A.   187 
 1,168      Partners Group   725 
 3,558   e  Phonak Holding AG.   579 
 3,500      PSP Swiss Property AG.   327 
 157,428      Roche Holding AG.   40,225 
 2,817      Schindler Holding AG.   597 
 1,454      Schindler Holding AG. (Registered)   302 
 373      SGS S.A.   904 
 142      Sika AG.   912 
 42,506   e  STMicroelectronics NV   611 
 643      Straumann Holding AG.   366 
 2,328      Swatch Group AG.   861 
 2,461      Swatch Group AG. (Registered)   180 
 2,196      Swiss Life Holding   743 
 7,391      Swiss Prime Site AG.   672 
 146,752      Swiss Re Ltd   13,449 
 1,743      Swisscom AG.   842 
 480,348      UBS AG.   8,169 
 6,739      Vifor Pharma AG.   744 
 362,112      Wolseley plc   22,226 
 35,369      Zurich Financial Services AG.   10,322 
        TOTAL SWITZERLAND   501,881 
                
TAIWAN - 0.4%
 31,220,348   *  Advanced Semiconductor Engineering, Inc   40,017 
 1,200,000      Basso Industry Corp   3,353 
 1,900,000   *  Hon Hai Precision Industry Co, Ltd   7,304 
 2,238,478   *  Hota Industrial Manufacturing Co Ltd   11,040 
 60,000      Largan Precision Co Ltd   9,553 
 90,000   e  Silicon Motion Technology Corp (ADR)   4,341 
        TOTAL TAIWAN   75,608 

202

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
THAILAND - 0.1%
 3,000,000      Delta Electronics Thai PCL  $7,645 
 3,028,000      Tisco Financial Group PCL (ADR)   6,772 
        TOTAL THAILAND   14,417 
                
UNITED KINGDOM - 5.2%
 65,262      3i Group plc   767 
 59,563      Aberdeen Asset Management plc   235 
 12,925      Admiral Group plc   337 
 89,538   *  Anglo American plc (London)   1,196 
 1,748,470      Ashtead Group plc   36,180 
 174,400   *  ASOS plc   13,054 
 185,324      Associated British Foods plc   7,092 
 242,590      AstraZeneca plc   16,250 
 1,159,222   g  Auto Trader Group plc   5,740 
 1,364,492      Aviva plc   9,360 
 17,878      Babcock International Group   205 
 214,101      BAE Systems plc   1,767 
 8,393,764      Barclays plc   22,200 
 68,420      Barratt Developments plc   503 
 1,028,700      Beazley plc   6,543 
 384,231   *  Belmond Ltd.   5,110 
 8,684      Berkeley Group Holdings plc   365 
 100,000      Big Yellow Group plc   1,032 
 3,086,000   *,e  boohoo.com plc   9,316 
 5,525,803      BP plc   31,896 
 1,331,148      British American Tobacco plc   90,708 
 259,629      British Land Co plc   2,050 
 959,319      Britvic plc   8,647 
 569,168      BT Group plc   2,189 
 22,598      Bunzl plc   674 
 28,872      Burberry Group plc   625 
 44,014      Capita Group plc   397 
 20,000   e  Capital & Counties Properties   76 
 367,059      Centrica plc   957 
 686,400      Cineworld Group plc   6,273 
 5,070,539      CNH Industrial NV   57,504 
 158,719   *  Cobham plc   268 
 14,592      Coca-Cola European Partners plc   591 
 106,088   *  Compass Group plc   2,239 
 78,562   *  ConvaTec Group plc   327 
 9,025      Croda International plc   457 
 154,865   *,e  CYBG plc   557 
 5,995      DCC plc   546 
 31,127      Derwent London plc   1,076 
 325,744      Diageo plc   9,626 
 90,996      Direct Line Insurance Group plc   421 
 10,554      easyJet plc   187 
 2,972,700      Electrocomponents plc   22,360 
 63,576      Experian Group Ltd   1,305 
 1,114,140      Fevertree Drinks plc   24,784 
 70,581   *  Fiat DaimlerChrysler Automobiles NV   746 
 114,513      GKN plc   486 

203

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 2,871,095      GlaxoSmithKline plc  $61,118 
 135,850      Great Portland Estates plc   1,058 
 104,145      Group 4 Securicor plc   443 
 159,118      Hammerson plc   1,191 
 17,627      Hargreaves Lansdown plc   299 
 4,042,775      Hays plc   8,741 
 1,651,474      HSBC Holdings plc   15,329 
 18,555      IMI plc   289 
 64,451      Imperial Tobacco Group plc   2,896 
 800,000      Inchcape plc   7,864 
 29,954      Inmarsat plc   300 
 12,218      InterContinental Hotels Group plc   679 
 42,651      International Consolidated Airlines Group S.A.   339 
 10,554      Intertek Group plc   580 
 85,569   e  Intu Properties plc   300 
 244,869      ITV plc   580 
 112,199      J Sainsbury plc   368 
 13,442      Johnson Matthey plc   503 
 1,426,714   *  Just Eat plc   12,178 
 149,893      Kingfisher plc   587 
 163,906      Land Securities Group plc   2,164 
 7,520,875      Legal & General Group plc   25,308 
 132,753   *  Liberty Global plc   4,139 
 181,059   *  Liberty Global plc (Class A)   5,816 
 6,468,415      Lloyds TSB Group plc   5,574 
 105,203      London Stock Exchange Group plc   5,004 
 3,660,337      Man Group plc   7,386 
 109,989      Marks & Spencer Group plc   477 
 52,806      Meggitt plc   328 
 48,314   g  Merlin Entertainments plc   302 
 230,981      National Grid plc   2,862 
 64,467      New Carphone Warehouse plc   238 
 22,058      Next plc   1,108 
 329,347      Old Mutual plc   831 
 54,434      Pearson plc   490 
 33,185      Pentair plc   2,208 
 20,557      Persimmon plc   600 
 17,808      Petrofac Ltd   102 
 9,908      Provident Financial plc   314 
 2,615,962      Prudential plc   60,046 
 2,154,808   *,e  Purplebricks Group plc   12,180 
 128,890      Reckitt Benckiser Group plc   13,066 
 895,645      Reed Elsevier NV   18,465 
 166,281      Reed Elsevier plc   3,595 
 227,462      Rightmove plc   12,586 
 79,598      Rio Tinto Ltd   3,868 
 655,483      Rio Tinto plc   27,761 
 111,150      Rolls-Royce Group plc   1,289 
 236,898   *  Royal Bank of Scotland Group plc   764 
 60,889      Royal Mail plc   334 
 68,008      RSA Insurance Group plc   546 
 50,000      Safestore Holdings plc   274 
 73,524      Sage Group plc   659 

204

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 8,532      Schroders plc  $345 
 69,584      Scottish & Southern Energy plc   1,317 
 199,722      Segro plc   1,273 
 15,406      Severn Trent plc   438 
 20,000      Shaftesbury plc   253 
 804,891      Shire Ltd   44,381 
 384,612      Sky plc   4,981 
 129,898      Smith & Nephew plc   2,243 
 27,101      Smiths Group plc   564 
 36,279      St. James’s Place plc   559 
 575,861   *  Standard Chartered plc   5,832 
 132,641      Standard Life plc   690 
 28,998      Tate & Lyle plc   250 
 4,118,972      Taylor Wimpey plc   9,459 
 66,706   *  TechnipFMC plc   1,814 
 7,622,340   *  Tesco plc   16,782 
 515,314      Travis Perkins plc   9,769 
 407,428      Unilever NV   22,491 
 86,301      Unilever plc   4,670 
 47,572      United Utilities Group plc   538 
 1,991,100      Vesuvius plc   13,758 
 20,922,984      Vodafone Group plc   59,420 
 13,611      Weir Group plc   307 
 165,715      Whitbread plc   8,564 
 151,631      WM Morrison Supermarkets plc   476 
 134,151   g  Worldpay Group plc   550 
 1,712,826      WPP plc   36,066 
 431,478   g  ZPG plc   2,039 
        TOTAL UNITED KINGDOM   991,379 
                
UNITED STATES - 59.4%
 421,256      3M Co   87,701 
 27,259      A.O. Smith Corp   1,536 
 191,200      Aaron’s, Inc   7,438 
 2,008,196      Abbott Laboratories   97,618 
 415,374      AbbVie, Inc   30,119 
 27,878      Abercrombie & Fitch Co (Class A)   347 
 183,431      Accenture plc   22,687 
 256,998      Activision Blizzard, Inc   14,795 
 8,600   e  Acuity Brands, Inc   1,748 
 91,954   *  Adobe Systems, Inc   13,006 
 23,259      Advance Auto Parts, Inc   2,712 
 660,571   *,e  Advanced Micro Devices, Inc   8,244 
 167,713      AES Corp   1,863 
 237,541      Aetna Inc   36,066 
 9,871      Affiliated Managers Group, Inc   1,637 
 86,047      Aflac, Inc   6,684 
 31,511      AGCO Corp   2,124 
 222,570      Agilent Technologies, Inc   13,201 
 50,756      AGNC Investment Corp   1,081 
 10,000      Agree Realty Corp   459 
 185,560      Air Products & Chemicals, Inc   26,546 
 3,694,621   *,e  AK Steel Holding Corp   24,274 

205

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 34,429   *  Akamai Technologies, Inc  $1,715 
 48,300      Alaska Air Group, Inc   4,335 
 128,868      Albemarle Corp   13,601 
 34,505      Alexandria Real Estate Equities, Inc   4,157 
 497,785   *  Alexion Pharmaceuticals, Inc   60,566 
 23,912   *  Align Technology, Inc   3,590 
 23,114   *  Alkermes plc   1,340 
 5,398   *  Alleghany Corp   3,211 
 22,878      Allegion plc   1,856 
 340,283      Allergan plc   82,719 
 10,666      Alliance Data Systems Corp   2,738 
 86,857      Alliant Energy Corp   3,489 
 170,000      Allison Transmission Holdings, Inc   6,377 
 174,075      Allstate Corp   15,395 
 126,681      Ally Financial, Inc   2,648 
 132,118   *  Alphabet, Inc (Class A)   122,828 
 183,714   *  Alphabet, Inc (Class C)   166,946 
 424,797      Altria Group, Inc   31,635 
 242,816   *  Amazon.com, Inc   235,046 
 65,000   *  AMC Networks, Inc   3,472 
 120,000      Amdocs Ltd   7,735 
 3,083      Amerco, Inc   1,129 
 77,184      Ameren Corp   4,220 
 24,914      American Airlines Group, Inc   1,254 
 286,048      American Electric Power Co, Inc   19,872 
 519,662      American Express Co   43,776 
 148,894      American Financial Group, Inc   14,796 
 35,000      American Homes 4 Rent   790 
 1,009,179      American International Group, Inc   63,094 
 84,089      American Tower Corp   11,127 
 54,794      American Water Works Co, Inc   4,271 
 146,757      Ameriprise Financial, Inc   18,681 
 55,143      AmerisourceBergen Corp   5,213 
 59,391      Ametek, Inc   3,597 
 202,096      Amgen, Inc   34,807 
 71,106      Amphenol Corp (Class A)   5,249 
 532,892      Anadarko Petroleum Corp   24,161 
 72,921      Analog Devices, Inc   5,673 
 323,574      Annaly Capital Management, Inc   3,899 
 24,674   *  Ansys, Inc   3,002 
 52,486   *  Antero Resources Corp   1,134 
 163,820      Anthem, Inc   30,819 
 56,625      Aon plc   7,528 
 58,270      Apache Corp   2,793 
 30,000      Apartment Investment & Management Co (Class A)   1,289 
 2,860,042      Apple, Inc   411,903 
 846,016      Applied Materials, Inc   34,949 
 81,196      ARAMARK Holdings Corp   3,327 
 38,538   *  Arch Capital Group Ltd   3,595 
 125,916      Archer Daniels Midland Co   5,210 
 55,056      Arconic, Inc   1,247 
 14,912   *  Arista Networks, Inc   2,234 
 27,583   *  Arrow Electronics, Inc   2,163 

206

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 55,356      Arthur J. Gallagher & Co  $3,169 
 42,000   *  Asbury Automotive Group, Inc   2,375 
 162,562      Ashland Global Holdings, Inc   10,714 
 26,004      Assurant, Inc   2,696 
 2,742,993      AT&T, Inc   103,493 
 191,358   *  Athene Holding Ltd   9,493 
 42,651      Atmos Energy Corp   3,538 
 31,411   *  Autodesk, Inc   3,167 
 87,899      Automatic Data Processing, Inc   9,006 
 30,820   *,e  Autonation, Inc   1,299 
 6,950   *  AutoZone, Inc   3,965 
 36,187      AvalonBay Communities, Inc   6,954 
 31,165      Avery Dennison Corp   2,754 
 53,007      Avnet, Inc   2,061 
 181,325   *  Axalta Coating Systems Ltd   5,810 
 38,917      Axis Capital Holdings Ltd   2,516 
 287,587      Baker Hughes, Inc   15,676 
 95,378      Ball Corp   4,026 
 8,801,031      Bank of America Corp   213,513 
 788,782      Bank of New York Mellon Corp   40,244 
 23,234      Bard (C.R.), Inc   7,345 
 70,000      Barnes Group, Inc   4,097 
 743,681      Baxter International, Inc   45,022 
 166,311      BB&T Corp   7,552 
 42,581      Becton Dickinson & Co   8,308 
 67,701      Bed Bath & Beyond, Inc   2,058 
 589,467   *  Berkshire Hathaway, Inc (Class B)   99,838 
 736,688   *  Berry Plastics Group, Inc   41,999 
 237,592      Best Buy Co, Inc   13,621 
 33,971   *  Biogen Idec, Inc   9,218 
 70,238   *  BioMarin Pharmaceutical, Inc   6,379 
 6,012   *  Bioverativ, Inc   362 
 43,771      BlackRock, Inc   18,489 
 165,000      Blackstone Group LP   5,503 
 172,684      Boeing Co   34,148 
 35,668      BorgWarner, Inc   1,511 
 56,051      Boston Properties, Inc   6,895 
 665,234   *  Boston Scientific Corp   18,440 
 90,000      Brinker International, Inc   3,429 
 482,187      Bristol-Myers Squibb Co   26,867 
 111,967      Brixmor Property Group, Inc   2,002 
 278,653      Broadcom Ltd   64,940 
 40,003      Broadridge Financial Solutions, Inc   3,023 
 70,747      Brown-Forman Corp (Class B)   3,438 
 119,926      Bunge Ltd   8,946 
 87,787      CA, Inc   3,026 
 82,206      Cabot Oil & Gas Corp   2,062 
 97,000   *  CACI International, Inc (Class A)   12,130 
 79,614   *  Cadence Design Systems, Inc   2,666 
 150,000      CalAtlantic Group, Inc   5,303 
 182,636   *,e  Callon Petroleum Co   1,938 
 31,509      Camden Property Trust   2,694 
 62,072      Campbell Soup Co   3,237 

207

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 182,724      Capital One Financial Corp  $15,097 
 81,023      Cardinal Health, Inc   6,313 
 33,537   *  Carmax, Inc   2,115 
 178,969      Carnival Corp   11,735 
 112,937      Carnival plc   7,468 
 50,000      Carter’s, Inc   4,448 
 423,720      Caterpillar, Inc   45,533 
 37,627      CBOE Holdings, Inc   3,439 
 45,555   *  CBRE Group, Inc   1,658 
 369,552      CBS Corp (Class B)   23,570 
 39,017      CDK Global, Inc   2,421 
 256,484      CDW Corp   16,038 
 26,653      Celanese Corp (Series A)   2,530 
 275,797   *  Celgene Corp   35,818 
 173,475   *  Centene Corp   13,857 
 173,808      Centerpoint Energy, Inc   4,759 
 103,850   e  CenturyLink, Inc   2,480 
 102,816   *  Cerner Corp   6,834 
 39,661   e  CF Industries Holdings, Inc   1,109 
 50,900      CH Robinson Worldwide, Inc   3,496 
 189,683      Charles Schwab Corp   8,149 
 64,076   *  Charter Communications, Inc   21,584 
 40,000      Chemed Corp   8,181 
 200,000      Chemours Co   7,584 
 46,982   *  Cheniere Energy, Inc   2,288 
 915,890      Chevron Corp   95,555 
 7,740   *  Chipotle Mexican Grill, Inc (Class A)   3,221 
 403,213      Chubb Ltd   58,619 
 73,674      Church & Dwight Co, Inc   3,822 
 1,829,520   *,e  Ciena Corp   45,775 
 604,439      Cigna Corp   101,177 
 51,791      Cimarex Energy Co   4,869 
 48,791      Cincinnati Financial Corp   3,535 
 26,674      Cintas Corp   3,362 
 80,000   *  Cirrus Logic, Inc   5,018 
 4,117,848      Cisco Systems, Inc   128,889 
 173,704   e  CIT Group, Inc   8,459 
 690,627      Citigroup, Inc   46,189 
 590,228      Citizens Financial Group, Inc   21,059 
 28,747   *  Citrix Systems, Inc   2,288 
 35,461      Clorox Co   4,725 
 90,388      CME Group, Inc   11,320 
 88,849      CMS Energy Corp   4,109 
 70,311      Coach, Inc   3,329 
 915,100      Coca-Cola Co   41,042 
 117,029      Cognizant Technology Solutions Corp (Class A)   7,771 
 137,283   *  Colfax Corp   5,405 
 278,361      Colgate-Palmolive Co   20,635 
 75,578      Colony NorthStar, Inc   1,065 
 24,000      Colony Starwood Homes   823 
 4,572,789      Comcast Corp (Class A)   177,973 
 158,746      Comerica, Inc   11,627 
 240,274   *  CommScope Holding Co, Inc   9,138 

208

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 1,205,024      ConAgra Foods, Inc  $43,092 
 587,936   *  Concho Resources, Inc   71,452 
 193,381      ConocoPhillips   8,501 
 300,000      Conseco, Inc   6,264 
 77,986      Consolidated Edison, Inc   6,303 
 47,904      Constellation Brands, Inc (Class A)   9,280 
 223,528   *,e  Continental Resources, Inc   7,227 
 18,696      Cooper Cos, Inc   4,476 
 17,167   e  Core Laboratories NV   1,739 
 191,243      Corning, Inc   5,747 
 8,822   *  CoStar Group, Inc   2,325 
 291,253      Costco Wholesale Corp   46,580 
 166,729      Coty, Inc   3,128 
 22,500   *,e  Credit Acceptance Corp   5,786 
 135,603      Crown Castle International Corp   13,585 
 48,992   *  Crown Holdings, Inc   2,923 
 120,000      CSRA, Inc   3,810 
 263,056      CSX Corp   14,352 
 14,000      CubeSmart   337 
 147,535      Cummins, Inc   23,933 
 197,300      CVS Health Corp   15,875 
 226,585      Danaher Corp   19,122 
 106,675      Darden Restaurants, Inc   9,648 
 59,477   *  DaVita, Inc   3,852 
 20,000      DDR Corp   181 
 57,305      Deere & Co   7,082 
 443,016      Delek US Holdings, Inc   11,713 
 86,495   *  Dell Technologies, Inc-VMware Inc   5,286 
 321,987      Delphi Automotive plc   28,222 
 141,268      Delta Air Lines, Inc   7,592 
 110,000      Deluxe Corp   7,614 
 34,323      Dentsply Sirona, Inc   2,226 
 71,218      Devon Energy Corp   2,277 
 39,339   *,e  DexCom, Inc   2,878 
 168,514   *  Diamondback Energy, Inc   14,966 
 35,311      DiamondRock Hospitality Co   387 
 38,075      Dick’s Sporting Goods, Inc   1,517 
 38,762      Digital Realty Trust, Inc   4,378 
 188,464      Discover Financial Services   11,721 
 47,708   *  Discovery Communications, Inc (Class A)   1,232 
 59,411   *  Discovery Communications, Inc (Class C)   1,498 
 58,147   *  DISH Network Corp (Class A)   3,649 
 75,987      Dollar General Corp   5,478 
 54,959   *  Dollar Tree, Inc   3,843 
 122,064      Dominion Resources, Inc   9,354 
 15,772      Domino’s Pizza, Inc   3,336 
 130,739      Dover Corp   10,488 
 1,506,307      Dow Chemical Co   95,003 
 86,196      DR Horton, Inc   2,980 
 48,083      Dr Pepper Snapple Group, Inc   4,381 
 95,051      DTE Energy Co   10,055 
 130,152      Duke Energy Corp   10,879 
 125,982      Duke Realty Corp   3,521 

209

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 696,578   *  DXC Technology Co  $53,441 
 991,502   *  E*TRADE Financial Corp   37,707 
 30,408      East West Bancorp, Inc   1,781 
 36,070      Eastman Chemical Co   3,030 
 96,944      Eaton Corp   7,545 
 23,359      Eaton Vance Corp   1,105 
 908,625   *  eBay, Inc   31,729 
 220,217      Ecolab, Inc   29,234 
 77,030      Edison International   6,023 
 7,000      Education Realty Trust, Inc   271 
 75,286   *  Edwards Lifesciences Corp   8,902 
 163,257      EI du Pont de Nemours & Co   13,176 
 119,297   *  Electronic Arts, Inc   12,612 
 930,308      Eli Lilly & Co   76,564 
 85,000      EMCOR Group, Inc   5,557 
 129,863      Emerson Electric Co   7,742 
 48,982      Entergy Corp   3,760 
 19,237   *  Envision Healthcare Corp   1,206 
 1,100,495      EOG Resources, Inc   99,617 
 54,787      EQT Corp   3,210 
 27,807      Equifax, Inc   3,821 
 18,150      Equinix, Inc   7,789 
 17,000      Equity Lifestyle Properties, Inc   1,468 
 119,642      Equity Residential   7,876 
 24,476      Essex Property Trust, Inc   6,297 
 388,206      Estee Lauder Cos (Class A)   37,260 
 13,092      Everest Re Group Ltd   3,333 
 84,354      Eversource Energy   5,121 
 249,754      Exelon Corp   9,009 
 30,435   e  Expedia, Inc   4,533 
 61,379      Expeditors International of Washington, Inc   3,467 
 203,662   *  Express Scripts Holding Co   13,002 
 44,122      Extra Space Storage, Inc   3,442 
 1,671,771   d  Exxon Mobil Corp   134,962 
 21,865   *  F5 Networks, Inc   2,778 
 1,397,361   *  Facebook, Inc   210,974 
 84,681      Fastenal Co   3,686 
 31,912      Federal Realty Investment Trust   4,033 
 260,156      FedEx Corp   56,540 
 74,472      Fidelity National Information Services, Inc   6,360 
 165,584      Fifth Third Bancorp   4,299 
 46,753   *  First Data Corp   851 
 36,417      First Republic Bank   3,645 
 140,247      FirstEnergy Corp   4,090 
 47,052   *  Fiserv, Inc   5,756 
 17,257   *  FleetCor Technologies, Inc   2,489 
 1,317,171   *  Flextronics International Ltd   21,483 
 64,239      Flir Systems, Inc   2,227 
 29,571      Flowserve Corp   1,373 
 34,328      Fluor Corp   1,572 
 25,843      FMC Corp   1,888 
 75,430      FNF Group   3,382 
 50,666      Foot Locker, Inc   2,497 

210

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 587,200      Ford Motor Co  $6,571 
 42,871   *  Fortinet, Inc   1,605 
 167,317      Fortive Corp   10,600 
 32,920      Fortune Brands Home & Security, Inc   2,148 
 30,000      Four Corners Property Trust, Inc   753 
 66,075      Franklin Resources, Inc   2,959 
 1,865,581   *  Freeport-McMoRan Copper & Gold, Inc (Class B)   22,406 
 273,846      Gaming and Leisure Properties, Inc   10,316 
 95,293      Gap, Inc   2,095 
 155,759   *  Gardner Denver Holdings, Inc   3,366 
 38,477      Garmin Ltd   1,963 
 27,135   *  Gartner, Inc   3,351 
 381,431      General Dynamics Corp   75,562 
 2,205,720      General Electric Co   59,576 
 118,255      General Mills, Inc   6,551 
 4,461,000   *,m  General Motors Co    0 
 13,592,224   *,m  General Motors Co    0 
 29,845,445   *,m  General Motors Co    0 
 69,850,000   *,m  General Motors Co    0 
 61,921,000   *,e,m  General Motors Co    0 
 206,711      General Motors Co   7,220 
 19,417,463   *,m  General Motors Co    0 
 530,757   *,m  General Motors Co    0 
 26,439,985   *,m  General Motors Co    0 
 18,159,000   *,m  General Motors Co    0 
 18,106,794   *,m  General Motors Co    0 
 39,022      Genuine Parts Co   3,620 
 161,544      GGP, Inc   3,806 
 313,943      Gilead Sciences, Inc   22,221 
 31,237      Global Payments, Inc   2,821 
 178,808      Goldman Sachs Group, Inc   39,677 
 311,224      Goodyear Tire & Rubber Co   10,880 
 56,352   *,e  GrubHub, Inc   2,457 
 95,512      H&R Block, Inc   2,952 
 142,449      Halliburton Co   6,084 
 129,617   e  Hanesbrands, Inc   3,002 
 37,504   e  Harley-Davidson, Inc   2,026 
 34,154      Harris Corp   3,726 
 207,235      Hartford Financial Services Group, Inc   10,894 
 30,803      Hasbro, Inc   3,435 
 264,955   *  HCA Holdings, Inc   23,104 
 143,512      HCP, Inc   4,587 
 568,575   *  HD Supply Holdings, Inc   17,415 
 35,000      Healthcare Trust of America, Inc   1,089 
 170,000      Healthsouth Corp   8,228 
 19,609   e  Helmerich & Payne, Inc   1,066 
 26,776   *  Henry Schein, Inc   4,901 
 180,000      Herman Miller, Inc   5,472 
 36,548      Hershey Co   3,924 
 41,473      Hess Corp   1,819 
 238,509      Hewlett Packard Enterprise Co   3,957 
 111,243      Hilltop Holdings, Inc   2,916 

211

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 29,022      Hilton Worldwide Holdings, Inc  $1,795 
 69,970   e  HollyFrontier Corp   1,922 
 293,546   *  Hologic, Inc   13,321 
 691,903      Home Depot, Inc   106,138 
 524,472      Honeywell International, Inc   69,907 
 111,256      Hormel Foods Corp   3,795 
 185,362      Host Marriott Corp   3,387 
 245,703      HP, Inc   4,295 
 35,000      Hudson Pacific Properties   1,197 
 87,844      Humana, Inc   21,137 
 1,566,787      Huntington Bancshares, Inc   21,183 
 73,931      Huntington Ingalls   13,763 
 40,000   *  IAC/InterActiveCorp   4,130 
 25,157      IDEX Corp   2,843 
 23,570   *  Idexx Laboratories, Inc   3,805 
 53,754   *  IHS Markit Ltd   2,367 
 60,247      Illinois Tool Works, Inc   8,630 
 80,779   *  Illumina, Inc   14,017 
 103,025   *,e  Imax Corp   2,267 
 41,191   *  Incyte Corp   5,186 
 248,426      Ingersoll-Rand plc   22,704 
 72,996      Ingredion, Inc   8,702 
 1,038,991      Intel Corp   35,056 
 136,691      IntercontinentalExchange Group, Inc   9,011 
 42,000      InterDigital, Inc   3,247 
 165,774      International Business Machines Corp   25,501 
 28,180      International Flavors & Fragrances, Inc   3,804 
 150,000      International Game Technology plc   2,745 
 83,959      International Paper Co   4,753 
 823,217      Interpublic Group of Cos, Inc   20,251 
 62,158      Intuit, Inc   8,255 
 12,947   *  Intuitive Surgical, Inc   12,110 
 65,657      Invesco Ltd   2,310 
 24,000      Invitation Homes, Inc   519 
 65,025      Iron Mountain, Inc   2,234 
 7,456      Iron Mountain, Inc (CDI)   251 
 35,500      iShares Dow Jones US Real Estate Index Fund   2,832 
 489,895      iShares MSCI Canada Index Fund   13,110 
 1,896,509   e  iShares MSCI EAFE Index Fund   123,652 
 39,591      iShares NASDAQ Biotechnology ETF   12,276 
 140,000      ITT, Inc   5,625 
 30,885      J.B. Hunt Transport Services, Inc   2,822 
 34,303      J.M. Smucker Co   4,059 
 29,728      Jack Henry & Associates, Inc   3,088 
 26,911      Jacobs Engineering Group, Inc   1,464 
 56,323   *  Jazz Pharmaceuticals plc   8,758 
 1,091,667      Johnson & Johnson   144,417 
 138,485      Johnson Controls International plc   6,005 
 9,033      Jones Lang LaSalle, Inc   1,129 
 2,000,188      JPMorgan Chase & Co   182,817 
 331,718      Juniper Networks, Inc   9,248 
 72,067      Kansas City Southern Industries, Inc   7,542 
 65,758      Kellogg Co   4,568 

212

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 102,802      Kennametal, Inc  $3,847 
 236,449      Keycorp   4,431 
 17,000      Kilroy Realty Corp   1,278 
 95,402      Kimberly-Clark Corp   12,317 
 139,305      Kimco Realty Corp   2,556 
 584,974      Kinder Morgan, Inc   11,208 
 110,649      Kla-Tencor Corp   10,125 
 133,201      Kohl’s Corp   5,151 
 130,000      Korn/Ferry International   4,489 
 395,609      Kraft Heinz Co   33,880 
 268,899      Kroger Co   6,271 
 63,024      L Brands, Inc   3,396 
 11,618      L3 Technologies, Inc   1,941 
 89,069   *  Laboratory Corp of America Holdings   13,729 
 47,068      Lam Research Corp   6,657 
 2      Lamb Weston Holdings, Inc    0^
 115,587      Las Vegas Sands Corp   7,385 
 108,583      Lear Corp   15,427 
 43,798      Leggett & Platt, Inc   2,301 
 135,005      Leidos Holdings, Inc   6,978 
 43,060      Lennar Corp (Class A)   2,296 
 13,896      Lennox International, Inc   2,552 
 96,216      Leucadia National Corp   2,517 
 67,806   *  Level 3 Communications, Inc   4,021 
 144   *  Liberty Braves Group (Class A)   3 
 33,818   *  Liberty Broadband Corp (Class C)   2,934 
 394,119   *  Liberty Interactive Corp   9,672 
 52,635      Liberty Property Trust   2,143 
 13,546   *  Liberty SiriusXM Group (Class A)   569 
 26,734   *  Liberty SiriusXM Group (Class C)   1,115 
 244,994      Lincoln National Corp   16,557 
 68,800   *  LKQ Corp   2,267 
 45,360      Lockheed Martin Corp   12,592 
 87,225      Loews Corp   4,083 
 246,436      Lowe’s Companies, Inc   19,106 
 40,969   *  Lululemon Athletica, Inc   2,445 
 219,149   *  Lumentum Holdings, Inc   12,502 
 71,289      LyondellBasell Industries AF S.C.A   6,016 
 55,731      M&T Bank Corp   9,026 
 57,313      Macerich Co   3,328 
 27,956      Macquarie Infrastructure Co LLC   2,192 
 112,706      Macy’s, Inc   2,619 
 18,359   *,e  Mallinckrodt plc   823 
 114,952      Manpower, Inc   12,834 
 122,340      Marathon Oil Corp   1,450 
 78,434      Marathon Petroleum Corp   4,104 
 4,147   *  Markel Corp   4,047 
 54,817      Marriott International, Inc (Class A)   5,499 
 108,870      Marsh & McLennan Cos, Inc   8,488 
 14,803      Martin Marietta Materials, Inc   3,295 
 147,472      Masco Corp   5,635 
 125,000   *  Mastec, Inc   5,644 
 376,395      MasterCard, Inc (Class A)   45,713 

213

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 378,916   *,e  Matador Resources Co  $8,097 
 577,307      Mattel, Inc   12,429 
 70,832      Maxim Integrated Products, Inc   3,180 
 33,970      McCormick & Co, Inc   3,312 
 590,608      McDonald’s Corp   90,458 
 47,394      McKesson Corp   7,798 
 43,038   *  MEDNAX, Inc   2,598 
 373,214      Medtronic plc   33,123 
 733,474      Merck & Co, Inc   47,008 
 644,562      Merrimack Pharmaceuticals, Inc   799 
 583,918      Metlife, Inc   32,080 
 8,818   *  Mettler-Toledo International, Inc   5,190 
 465,745   e  MGM Growth Properties LLC   13,595 
 1,085,800      MGM Resorts International   33,975 
 116,973   *  Michael Kors Holdings Ltd   4,240 
 200,000   *  Michaels Cos, Inc   3,704 
 50,312      Microchip Technology, Inc   3,883 
 313,705   *  Micron Technology, Inc   9,367 
 3,713,771      Microsoft Corp   255,990 
 42,709      Mid-America Apartment Communities, Inc   4,501 
 12,364   *  Middleby Corp   1,502 
 14,200   *  Mobileye NV   892 
 58,855   *  Mohawk Industries, Inc   14,225 
 226,319      Molson Coors Brewing Co (Class B)   19,540 
 1,039,019      Mondelez International, Inc   44,875 
 70,000      Monogram Residential Trust, Inc   680 
 208,798      Monsanto Co   24,713 
 529,569   *  Monster Beverage Corp   26,309 
 36,582      Moody’s Corp   4,451 
 1,112,675      Morgan Stanley   49,581 
 73,896      Mosaic Co   1,687 
 47,166      Motorola, Inc   4,091 
 28,763      MSCI, Inc (Class A)   2,962 
 21,554      Murphy Oil Corp   552 
 969,654   *  Mylan NV   37,642 
 42,077      NASDAQ OMX Group, Inc   3,008 
 96,924      National Oilwell Varco, Inc   3,193 
 68,081      National Retail Properties, Inc   2,662 
 43,082      Navient Corp   717 
 86,459      NetApp, Inc   3,463 
 85,953   *  NetFlix, Inc   12,842 
 207,082      New York Community Bancorp, Inc   2,719 
 359,620      Newell Rubbermaid, Inc   19,283 
 28,559   *  Newfield Exploration Co   813 
 348,178      Newmont Mining Corp   11,277 
 91,575      News Corp   1,255 
 222,469      NextEra Energy, Inc   31,175 
 53,472      Nielsen NV   2,067 
 1,071,227      Nike, Inc (Class B)   63,202 
 125,083      NiSource, Inc   3,172 
 87,610      Noble Energy, Inc   2,479 
 41,698   e  Nordstrom, Inc   1,994 
 163,795      Norfolk Southern Corp   19,934 

214

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 47,024      Northern Trust Corp  $4,571 
 141,774      Northrop Grumman Corp   36,395 
 37,374   *  Norwegian Cruise Line Holdings Ltd   2,029 
 81,302   *  Nuance Communications, Inc   1,415 
 49,979      Nucor Corp   2,892 
 200,884      NVIDIA Corp   29,040 
 8,742   *  NVR, Inc   21,074 
 288,484      Occidental Petroleum Corp   17,272 
 72,453      OGE Energy Corp   2,521 
 761,476      Olin Corp   23,057 
 56,610      Omnicom Group, Inc   4,693 
 32,456      Oneok, Inc   1,693 
 2,059,222      Oracle Corp   103,249 
 21,248   *  O’Reilly Automotive, Inc   4,648 
 227,710      Owens Corning, Inc   15,238 
 76,932      PACCAR, Inc   5,081 
 27,729      Packaging Corp of America   3,089 
 18,127   *  Palo Alto Networks, Inc   2,426 
 90,000   *  Parexel International Corp   7,822 
 396,867      Parker-Hannifin Corp   63,427 
 970,136   *  Parsley Energy, Inc   26,921 
 38,886   e  Patterson Cos, Inc   1,826 
 46,773      Paychex, Inc   2,663 
 1,228,430   *  PayPal Holdings, Inc   65,930 
 147,212      People’s United Financial, Inc   2,600 
 508,366      PepsiCo, Inc   58,711 
 47,684   e  Perrigo Co plc   3,601 
 2,710,891      Pfizer, Inc   91,059 
 521,523      PG&E Corp   34,613 
 886,533      Philip Morris International, Inc   104,123 
 86,421      Phillips 66   7,146 
 26,521      Phillips-Van Heusen Corp   3,037 
 400,000   *  Pilgrim’s Pride Corp   8,768 
 554,015      Pinnacle Foods, Inc   32,908 
 41,878      Pinnacle West Capital Corp   3,566 
 103,943      Pioneer Natural Resources Co   16,587 
 437,000      Plains All American Pipeline LP   11,480 
 153,219      Plains GP Holdings LP   4,008 
 152,261      PNC Financial Services Group, Inc   19,013 
 16,323   e  Polaris Industries, Inc   1,505 
 143,284      PPG Industries, Inc   15,756 
 156,142      PPL Corp   6,036 
 88,857      Praxair, Inc   11,778 
 13,898   *  Priceline.com, Inc   25,996 
 52,701      Principal Financial Group   3,377 
 619,562      Procter & Gamble Co   53,995 
 489,401      Progressive Corp   21,578 
 179,466      Prologis, Inc   10,524 
 34,000   *,e  Proofpoint, Inc   2,952 
 77,947      Prudential Financial, Inc   8,429 
 126,769      Public Service Enterprise Group, Inc   5,452 
 36,334      Public Storage, Inc   7,577 
 69,230      Pulte Homes, Inc   1,698 

215

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 19,695   *  QIAGEN NV  $655 
 24,406   *  Qorvo, Inc   1,545 
 18,000      QTS Realty Trust, Inc   942 
 273,566      Qualcomm, Inc   15,106 
 53,450      Quest Diagnostics, Inc   5,942 
 53,401   *  Quintiles Transnational Holdings, Inc   4,779 
 24,139      Ralph Lauren Corp   1,781 
 63,493      Range Resources Corp   1,471 
 31,374      Raymond James Financial, Inc   2,517 
 279,022      Raytheon Co   45,056 
 77,241      Realty Income Corp   4,262 
 41,843   *  Red Hat, Inc   4,006 
 78,402      Regency Centers Corp   4,911 
 18,276   *  Regeneron Pharmaceuticals, Inc   8,976 
 249,101      Regions Financial Corp   3,647 
 80,534      Reinsurance Group of America, Inc (Class A)   10,340 
 65,851      Republic Services, Inc   4,197 
 49,365      Resmed, Inc   3,844 
 25,000      Retail Opportunities Investment Corp   480 
 70,000   *  Retrophin, Inc   1,357 
 235,000      Rexford Industrial Realty, Inc   6,448 
 161,363      Reynolds American, Inc   10,495 
 32,424   *  Rite Aid Corp   96 
 35,649      Robert Half International, Inc   1,709 
 28,685      Rockwell Automation, Inc   4,646 
 41,905      Rockwell Collins, Inc   4,403 
 46,434   e  Rollins, Inc   1,890 
 89,740      Roper Industries, Inc   20,778 
 86,383      Ross Stores, Inc   4,987 
 38,247      Royal Caribbean Cruises Ltd   4,178 
 750,530   *  RSP Permian, Inc   24,220 
 37,564      S&P Global, Inc   5,484 
 91,064      Sabre Corp   1,982 
 682,963   *  salesforce.com, Inc   59,145 
 657,600      Samsonite International   2,747 
 200,000   *  Sanmina Corp   7,620 
 17,290   *  SBA Communications Corp   2,332 
 53,547      SCANA Corp   3,588 
 318,039      Schlumberger Ltd   20,940 
 118,116      Scripps Networks Interactive (Class A)   8,069 
 70,712   e  Seagate Technology, Inc   2,740 
 68,871      Sealed Air Corp   3,083 
 17,093   *  Seattle Genetics, Inc   884 
 32,022      SEI Investments Co   1,722 
 111,694      Sempra Energy   12,593 
 38,750   *,e  Sensata Technologies Holding BV   1,655 
 146,100   *  ServiceMaster Global Holdings, Inc   5,726 
 159,069   *  ServiceNow, Inc   16,861 
 17,105      Sherwin-Williams Co   6,003 
 7,431      Shire plc (ADR)   1,228 
 16,403   *  Signature Bank   2,354 
 30,752   e  Signet Jewelers Ltd   1,945 
 86,243      Simon Property Group, Inc   13,951 

216

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 522,687   e  Sirius XM Holdings, Inc  $2,859 
 39,009      Skyworks Solutions, Inc   3,743 
 42,102      SL Green Realty Corp   4,454 
 16,497      Snap-On, Inc   2,607 
 192,503      Southern Co   9,217 
 242,650      Southwest Airlines Co   15,078 
 12,768   e  Spectrum Brands, Inc   1,597 
 128,400      Spirit Aerosystems Holdings, Inc (Class A)   7,439 
 80,000      Spirit Realty Capital, Inc   593 
 22,059   *,e  Splunk, Inc   1,255 
 172,973   *  Sprint Corp   1,420 
 55,795      SS&C Technologies Holdings, Inc   2,143 
 110,520      Stanley Works   15,553 
 209,762      Staples, Inc   2,112 
 797,486      Starbucks Corp   46,501 
 115,109      State Street Corp   10,329 
 36,443      Steel Dynamics, Inc   1,305 
 34,940   *  Stericycle, Inc   2,667 
 81,523      Stryker Corp   11,314 
 14,000      Sun Communities, Inc   1,228 
 45,000      Sunstone Hotel Investors, Inc   725 
 662,823      SunTrust Banks, Inc   37,595 
 7,862   *  SVB Financial Group   1,382 
 1,148,123      Symantec Corp   32,434 
 483,538      Synchrony Financial   14,419 
 40,416   *  Synopsys, Inc   2,948 
 111,517      Sysco Corp   5,613 
 56,705      T Rowe Price Group, Inc   4,208 
 39,500   *  Take-Two Interactive Software, Inc   2,899 
 31,956      Targa Resources Investments, Inc   1,444 
 118,406      Target Corp   6,191 
 746   *  Taro Pharmaceutical Industries Ltd   84 
 66,467      TD Ameritrade Holding Corp   2,857 
 172,734      TE Connectivity Ltd   13,591 
 15,785      Teleflex, Inc   3,279 
 813,317      Terex Corp   30,499 
 14,000      Terreno Realty Corp   471 
 32,045   *,e  TESARO, Inc   4,482 
 19,619   *  Tesla, Inc   7,094 
 37,270   b  Tesoro Corp   3,488 
 90,000      Tetra Tech, Inc   4,118 
 183,234      Texas Instruments, Inc   14,096 
 284,209      Textron, Inc   13,386 
 95,161      Thermo Fisher Scientific, Inc   16,603 
 50,000      Thor Industries, Inc   5,226 
 35,746      Tiffany & Co   3,355 
 490,726      Time Warner, Inc   49,274 
 315,964      TJX Companies, Inc   22,803 
 310,985   *  T-Mobile US, Inc   18,852 
 32,488      Toll Brothers, Inc   1,284 
 37,461      Torchmark Corp   2,866 
 44,462      Total System Services, Inc   2,590 
 33,521      Tractor Supply Co   1,817 

217

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 13,311   e  TransDigm Group, Inc  $3,579 
 59,871      Travelers Cos, Inc   7,575 
 50,805   *  Trimble Navigation Ltd   1,812 
 34,232   *,e  TripAdvisor, Inc   1,308 
 226,908      Twenty-First Century Fox, Inc   6,431 
 125,894      Twenty-First Century Fox, Inc (Class B)   3,509 
 93,472   *,e  Twitter, Inc   1,670 
 78,758      Tyson Foods, Inc (Class A)   4,933 
 83,113      UDR, Inc   3,239 
 63,568      UGI Corp   3,077 
 13,556   *  Ulta Beauty, Inc   3,895 
 27,196   *,e  Under Armour, Inc   548 
 41,685   *,e  Under Armour, Inc (Class A)   907 
 906,578      Union Pacific Corp   98,735 
 69,717   *  United Continental Holdings, Inc   5,246 
 117,603      United Parcel Service, Inc (Class B)   13,006 
 246,778   *  United Rentals, Inc   27,814 
 142,065      United Technologies Corp   17,348 
 50,814   *  United Therapeutics Corp   6,592 
 503,337      UnitedHealth Group, Inc   93,329 
 36,239      Universal Health Services, Inc (Class B)   4,424 
 62,227      UnumProvident Corp   2,902 
 316,231      US Bancorp   16,419 
 67,512   *  US Foods Holding Corp   1,838 
 143,394   *,e  USG Corp   4,161 
 15,186      Vail Resorts, Inc   3,080 
 89,015   *  Valeant Pharmaceuticals International, Inc   1,547 
 92,222      Valero Energy Corp   6,221 
 184,107      Valvoline, Inc   4,367 
 50,000      Vanguard FTSE Developed Markets ETF   2,066 
 48,702   *  Vantiv, Inc   3,085 
 30,563   *  Varian Medical Systems, Inc   3,154 
 27,555   *  VCA Antech, Inc   2,544 
 32,906   *  Veeva Systems, Inc   2,017 
 92,030      Ventas, Inc   6,394 
 296,959      VEREIT, Inc   2,417 
 31,837   *,e  VeriSign, Inc   2,960 
 43,554   *  Verisk Analytics, Inc   3,675 
 1,098,281      Verizon Communications, Inc   49,049 
 94,499   *  Vertex Pharmaceuticals, Inc   12,178 
 79,291      VF Corp   4,567 
 300,316      Viacom, Inc (Class B)   10,082 
 669,011      Visa, Inc (Class A)   62,740 
 75,000   *  Visteon Corp   7,655 
 28,009   *,e  VMware, Inc (Class A)   2,449 
 53,633      Vornado Realty Trust   5,036 
 53,980      Voya Financial, Inc   1,991 
 29,261      Vulcan Materials Co   3,707 
 78,871      W.R. Berkley Corp   5,456 
 18,884      W.W. Grainger, Inc   3,409 
 12,533   *  WABCO Holdings, Inc   1,598 
 20,365   e  Wabtec Corp   1,863 
 613,785      Walgreens Boots Alliance, Inc   48,066 

218

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
SHARES      COMPANY  (000) 
 567,523      Wal-Mart Stores, Inc  $42,950 
 459,024      Walt Disney Co   48,771 
 91,786      Waste Management, Inc   6,733 
 26,109   *  Waters Corp   4,800 
 128,374   *,e  Weatherford International Ltd   497 
 88,551      WEC Energy Group, Inc   5,435 
 3,514,757      Wells Fargo & Co   194,753 
 72,646      Welltower, Inc   5,438 
 65,747      Westar Energy, Inc   3,486 
 58,557      Western Digital Corp   5,188 
 136,090      Western Union Co   2,593 
 334,117      Westlake Chemical Corp   22,122 
 123,310      WestRock Co   6,987 
 115,531      Weyerhaeuser Co   3,870 
 14,768      Whirlpool Corp   2,830 
 95,442      Whole Foods Market, Inc   4,019 
 1,249,123      Williams Cos, Inc   37,823 
 18,735   e  Willis Towers Watson plc   2,725 
 19,664   *  Workday, Inc   1,907 
 488,199   *  WPX Energy, Inc   4,716 
 520,502      WR Grace & Co   37,481 
 116,539      Wyndham Worldwide Corp   11,702 
 56,858      Wynn Resorts Ltd   7,626 
 420,652      Xcel Energy, Inc   19,300 
 56,701      Xerox Corp   1,629 
 62,846      Xilinx, Inc   4,042 
 55,995      Xylem, Inc   3,104 
 239,713   *  Yum China Holdings, Inc   9,452 
 425,118      Yum! Brands, Inc   31,357 
 68,426   *  Zayo Group Holdings, Inc   2,114 
 13,844   *,e  Zillow Group, Inc (Class C)   678 
 74,963      Zimmer Holdings, Inc   9,625 
 554,450      Zions Bancorporation   24,346 
 381,498      Zoetis, Inc   23,798 
        TOTAL UNITED STATES   11,419,858 
                
URUGUAY - 0.1%
 3,482,029   *  Arcos Dorados Holdings, Inc   25,941 
        TOTAL URUGUAY   25,941 
                
ZAMBIA - 0.0%
 314,363      First Quantum Minerals Ltd   2,659 
        TOTAL ZAMBIA   2,659 
        TOTAL COMMON STOCKS   18,904,925 
        (Cost $16,405,604)     
              
RIGHTS / WARRANTS - 0.0%
AUSTRALIA - 0.0%        
 681,005   m  BGP Holdings plc    0
        TOTAL AUSTRALIA    0
              
 SPAIN - 0.0%              

219

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

                 VALUE 
SHARES      COMPANY         (000) 
 15,710      ACS Actividades de Construccion y Servicios S.A.          $12 
        TOTAL SPAIN             12  
                      
        TOTAL RIGHTS / WARRANTS             12  
        (Cost $13)             
                      
              MATURITY 
PRINCIPAL      ISSUER  RATE  DATE   
SHORT-TERM INVESTMENTS - 3.7%
GOVERNMENT AGENCY DEBT - 0.0%
$1,700,000      Federal Home Loan Bank (FHLB)   0.400%  07/03/17   1,700 
 1,400,000      FHLB   0.871   07/14/17   1,400 
        TOTAL GOVERNMENT AGENCY DEBT             3,100  
                          
TREASURY DEBT - 1.5%
 19,000,000      United States Treasury Bill   0.691   07/06/17   18,999 
 12,300,000      United States Treasury Bill   0.788   07/27/17   12,293 
 26,900,000      United States Treasury Bill   0.912   08/03/17   26,881 
 68,000,000      United States Treasury Bill   0.927   09/14/17   67,869 
 100,000,000      United States Treasury Bill   0.959-0.989   09/21/17   99,786 
 67,900,000      United States Treasury Bill   0.999   09/28/17   67,734 
        TOTAL TREASURY DEBT             293,562  
                          
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 2.2%
CERTIFICATE OF DEPOSIT - 0.4%
 17,000,000      Bank of Montreal   1.000   07/03/17   17,000 
 17,000,000      Bank of Nova Scotia   1.060   07/03/17   17,000 
 17,000,000      CIBC Bank and Trust Co   1.050   07/03/17   17,000 
 17,000,000      National Australia Bank   1.050   07/03/17   17,000 
        TOTAL CERTIFICATE OF DEPOSIT             68,000  
                          
REPURCHASE AGREEMENT - 1.7%
 21,000,000   p  Calyon   1.060   07/03/17   21,000 
 15,193,000   q  Goldman Sachs   1.060   07/03/17   15,193 
 15,000,000   r  HSBC   1.040   07/03/17   15,000 
 40,000,000   t  JP Morgan   1.110   07/03/17   40,000 
 10,000,000   s  JP Morgan   1.020   07/03/17   10,000 
 30,000,000   u  Nomura   1.130   07/03/17   30,000 
 60,000,000   v  Royal Bank of Scotland   1.080   07/03/17   60,000 
 65,000,000   w  Royal Bank of Scotland   1.050   07/06/17   65,000 
 40,000,000   x  Royal Bank of Scotland   1.060   07/07/17   40,000 
 39,000,000   y  Societe Generale   1.100   07/03/17   39,000 
        TOTAL REPURCHASE AGREEMENT             335,193  
                          
VARIABLE RATE SECURITIES - 0.1%
 12,598,671   i  SLM Student Loan Trust   1.196   01/25/19   12,570 
        TOTAL VARIABLE RATE SECURITIES             12,570  
                          
        TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED     415,763  

220

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

          VALUE 
       ISSUER  (000) 
        TOTAL SHORT-TERM INVESTMENTS  $712,425 
       (Cost $712,440)     
        TOTAL INVESTMENTS - 102.0%   19,617,362 
        (Cost $17,118,057)     
        OTHER ASSETS & LIABILITIES, NET - (2.0)%   (389,539)
        NET ASSETS - 100.0%  $19,227,823 

          
          
       Abbreviation(s):
       ADR     American Depositary Receipt
       ETF      Exchange Traded Fund
       REIT    Real Estate Investment Trust
        
    *  Non-income producing
    ^  Amount represents less than $1,000.
    b  In bankruptcy
    d  All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
    e  All or a portion of these securities are out on loan. The aggregate value of securities on loan is $404,691,000.
    g  Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/17, the aggregate value of these securities was $169,460,000 or 0.9% of net assets.
    i  Floating or variable rate security. Coupon rate reflects the rate at period end.
    m  Indicates a security that has been deemed illiquid.
    p  Agreement with Calyon, 1.06% dated 6/30/17 to be repurchased at $21,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $21,420,000.
    q 

Agreement with Goldman Sachs, 1.06% dated 6/30/17 to be repurchased at $15,193,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $15,497,000.

    r 

Agreement with HSBC, 1.04% dated 6/30/17 to be repurchased at $15,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $15,302,000.

    s 

Agreement with JP Morgan, 1.02% dated 6/30/17 to be repurchased at $10,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $10,202,000.

    t 

Agreement with JP Morgan, 1.11% dated 6/30/17 to be repurchased at $40,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $40,803,000.

    u 

Agreement with Nomura, 1.13% dated 6/30/17 to be repurchased at $30,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $30,600,000.

    v 

Agreement with Royal Bank of Scotland, 1.08% dated 6/30/17 to be repurchased at $60,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $61,204,000.

    w 

Agreement with Royal Bank of Scotland, 1.05% dated 6/29/17 to be repurchased at $65,000,000 on 7/06/17, collateralized by U.S. Government Agency Securities valued at $66,302,000.

    x 

Agreement with Royal Bank of Scotland, 1.06% dated 6/30/17 to be repurchased at $40,000,000 on 7/07/17, collateralized by U.S. Government Agency Securities valued at $40,800,000.

    y 

Agreement with Societe Generale, 1.10% dated 6/30/17 to be repurchased at $39,000,000 on 7/03/17, collateralized by U.S. Government Agency Securities valued at $39,780,000.

        
       Cost amounts are in thousands.
221

COLLEGE RETIREMENT EQUITIES FUND - Global Equities Account

 

COLLEGE RETIREMENT EQUITIES FUND

GLOBAL EQUITIES ACCOUNT

SUMMARY OF MARKET VALUES BY SECTOR (unaudited)

June 30, 2017

 

   VALUE   % OF 
SECTOR  (000)   ASSETS 
FINANCIALS  $3,539,356    18.1%
INFORMATION TECHNOLOGY   3,224,647    16.8 
CONSUMER DISCRETIONARY   2,605,350    13.6 
HEALTH CARE   2,222,410    11.6 
INDUSTRIALS   2,203,037    11.5 
CONSUMER STAPLES   1,489,234    7.8 
MATERIALS   1,185,880    6.2 
ENERGY   1,165,051    6.1 
REAL ESTATE   437,844    2.3 
TELECOMMUNICATION SERVICES   422,864    2.2 
UTILITIES   409,264    2.1 
SHORT-TERM INVESTMENTS   712,425    3.7 
OTHER ASSETS & LIABILITES, NET   (389,539)   (2.0)
NET ASSETS  $19,227,823    100.0%
222

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

COLLEGE RETIREMENT EQUITIES FUND

GROWTH ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2017

 

SHARES     COMPANY  VALUE
(000)
 
COMMON STOCKS - 99.1%
              
AUTOMOBILES & COMPONENTS - 1.3%
 3,749      BorgWarner, Inc  $159 
 1,028,629      Delphi Automotive plc   90,159 
 513,135      Gentex Corp   9,734 
 871,800      Goodyear Tire & Rubber Co   30,478 
 21,988      Harley-Davidson, Inc   1,188 
 368,761      Lear Corp   52,394 
 228,489   *  Tesla, Inc   82,624 
 125,499      Thor Industries, Inc   13,117 
 227,583   *  Visteon Corp   23,227 
        TOTAL AUTOMOBILES & COMPONENTS   303,080 
              
BANKS - 1.0%
 4,334,266      Bank of America Corp   105,149 
 9,064      Bank of the Ozarks, Inc   425 
 588,200      Citizens Financial Group, Inc   20,987 
 1,508      East West Bancorp, Inc   88 
 21,653      First Republic Bank   2,168 
 248,809      JPMorgan Chase & Co   22,741 
 3,871      Pinnacle Financial Partners, Inc   243 
 5,496   *  Signature Bank   789 
 6,685   *  SVB Financial Group   1,175 
 1,265,100      Wells Fargo & Co   70,099 
 9,490   *  Western Alliance Bancorp   467 
        TOTAL BANKS   224,331 
              
CAPITAL GOODS - 6.8%
 728,035      3M Co   151,570 
 24,783      A.O. Smith Corp   1,396 
 5,162      Acuity Brands, Inc   1,049 
 1,001      Air Lease Corp   37 
 16,426      Allegion plc   1,332 
 731,520      Allison Transmission Holdings, Inc   27,439 
 130,417      Ametek, Inc   7,899 
 7,598   *  Armstrong World Industries, Inc   350 
 832,230      Boeing Co   164,574 
 118,452      BWX Technologies, Inc   5,775 
 376,195      Caterpillar, Inc   40,426 
 649,228      CNH Industrial NV (NYSE)   7,388 
 66,424      Cummins, Inc   10,775 
 96,335      Deere & Co   11,906 
 21,033      Donaldson Co, Inc   958 
 2,849      Dover Corp   229 
 249,044      Emerson Electric Co   14,848 
 20,526      Equifax, Inc   2,821 
223

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
  49,837      Fastenal Co  $ 2,169 
 747,003      Fortive Corp   47,323 
 385,415      Fortune Brands Home & Security, Inc   25,144 
 422,486   *  Gardner Denver Holdings, Inc   9,130 
 448,189      General Dynamics Corp   88,786 
 327,123      General Electric Co   8,836 
 9,489      Graco, Inc   1,037 
 34,786   *  HD Supply Holdings, Inc   1,066 
 4,230      HEICO Corp   304 
 8,259      HEICO Corp (Class A)   512 
 10,409      Hexcel Corp   550 
 1,309,891      Honeywell International, Inc   174,595 
 68,639      Hubbell, Inc   7,768 
 129,619      Huntington Ingalls   24,130 
 12,243      IDEX Corp   1,384 
 52,549      Illinois Tool Works, Inc   7,528 
 565,731      Ingersoll-Rand plc   51,702 
 6,188      Lennox International, Inc   1,136 
 37,202      Lincoln Electric Holdings, Inc   3,426 
 174,371      Lockheed Martin Corp   48,407 
 833,507      Masco Corp   31,848 
 9,753   *  Middleby Corp   1,185 
 3,104      MSC Industrial Direct Co (Class A)   267 
 9,906      Nordson Corp   1,202 
 418,672      Northrop Grumman Corp   107,477 
 351,100      Owens Corning, Inc   23,496 
 615,170      Parker-Hannifin Corp   98,316 
 398,465   *  Quanta Services, Inc   13,117 
 100,617      Raytheon Co   16,248 
 351,944      Rockwell Automation, Inc   57,001 
 117,668      Rockwell Collins, Inc   12,365 
 538,731      Roper Industries, Inc   124,732 
 14,786   *  Sensata Technologies Holding BV   632 
 1,310      Snap-On, Inc   207 
 472,200      Spirit Aerosystems Holdings, Inc (Class A)   27,359 
 2,683      Stanley Works   378 
 670,200      Textron, Inc   31,566 
 18,158      Toro Co   1,258 
 72,332      TransDigm Group, Inc   19,448 
 267,722   *  United Rentals, Inc   30,175 
 17,815   *  Univar, Inc   520 
 14,300      Valmont Industries, Inc   2,139 
 8,543      W.W. Grainger, Inc   1,542 
 8,697   *  WABCO Holdings, Inc   1,109 
 4,732      Wabtec Corp   433 
 5,210      Watsco, Inc   803 
 22,152   *  Welbilt, Inc   418 
 16,095      Xylem, Inc   892 
        TOTAL CAPITAL GOODS   1,561,838 
              
COMMERCIAL & PROFESSIONAL SERVICES - 0.7%
 14,812      Cintas Corp   1,867 
 6,365   *  Clean Harbors, Inc   355 

224

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
 475,798   *  Copart, Inc  $15,126 
 2,520      Dun & Bradstreet Corp   273 
 661,709   *  IHS Markit Ltd   29,142 
 23,617      KAR Auction Services, Inc   991 
 232,000      Manpower, Inc   25,903 
 1,274,637      Nielsen NV   49,278 
 21,246      Robert Half International, Inc   1,018 
 16,465      Rollins, Inc   670 
 249,919   *  Stericycle, Inc   19,074 
 21,896   *  TransUnion   948 
 26,115   *  Verisk Analytics, Inc   2,203 
 128,702      Waste Management, Inc   9,440 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES   156,288 
              
CONSUMER DURABLES & APPAREL - 1.9%
 12,479      Brunswick Corp   783 
 8,235      Carter’s, Inc   732 
 8,200      Coach, Inc   388 
 505,057      DR Horton, Inc   17,460 
 62,534      Hanesbrands, Inc   1,448 
 184,490      Hasbro, Inc   20,572 
 22,084   *  Kate Spade & Co   408 
 18,285      Leggett & Platt, Inc   961 
 672,815   *  Lululemon Athletica, Inc   40,147 
 11,221      Mattel, Inc   242 
 1,925   *  Michael Kors Holdings Ltd   70 
 158,471   *  Mohawk Industries, Inc   38,301 
 2,117,581      Nike, Inc (Class B)   124,938 
 26,771   *  NVR, Inc   64,534 
 10,148   e  Polaris Industries, Inc   936 
 6,900      Pool Corp   811 
 1,224,737      Pulte Homes, Inc   30,043 
 9,727   *  Skechers U.S.A., Inc (Class A)   287 
 940,800      Sony Corp   35,886 
 682,174   *,e  Tempur Sealy International, Inc   36,421 
 12,118      Toll Brothers, Inc   479 
 8,717      Tupperware Corp   612 
 23,436   *,e  Under Armour, Inc   472 
 23,093   *,e  Under Armour, Inc (Class A)   503 
 42,356      VF Corp   2,440 
 61,895      Whirlpool Corp   11,860 
        TOTAL CONSUMER DURABLES & APPAREL   431,734 
              
CONSUMER SERVICES - 3.6%
 1,333,081      ARAMARK Holdings Corp   54,630 
 8,707   *  Bright Horizons Family Solutions   672 
 462,600      Brinker International, Inc   17,625 
 334,500      Carnival Corp   21,933 
 236,328   *  Chipotle Mexican Grill, Inc (Class A)   98,336 
 5,750      Choice Hotels International, Inc   369 
 71,018      Darden Restaurants, Inc   6,423 

225

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 8,261      Domino’s Pizza, Inc  $1,747 
 15,861      Dunkin Brands Group, Inc   874 
 228,123      Extended Stay America, Inc   4,416 
 5,491      H&R Block, Inc   170 
 283,599   *  Hilton Grand Vacations, Inc   10,227 
 29,226      Hilton Worldwide Holdings, Inc   1,808 
 1,310,000      ILG, Inc   36,012 
 537,256      Las Vegas Sands Corp   34,325 
 1,250,946      Marriott International, Inc (Class A)   125,482 
 450,431      McDonald’s Corp   68,988 
 4,664,237   g  Merlin Entertainments plc   29,197 
 1,362,303      MGM Resorts International   42,626 
 150,600   *  Norwegian Cruise Line Holdings Ltd   8,176 
 4,250   *  Panera Bread Co (Class A)   1,337 
 31,298      Service Corp International   1,047 
 424,637   *  ServiceMaster Global Holdings, Inc   16,642 
 12,264      Six Flags Entertainment Corp   731 
 2,844,481      Starbucks Corp   165,862 
 6,827      Vail Resorts, Inc   1,385 
 31,761      Wendy’s   493 
 238,193      Wyndham Worldwide Corp   23,917 
 112,369      Wynn Resorts Ltd   15,071 
 520,228   *  Yum China Holdings, Inc   20,513 
 313,416      Yum! Brands, Inc   23,118 
        TOTAL CONSUMER SERVICES   834,152 
              
DIVERSIFIED FINANCIALS - 2.4%
 359,438      Ameriprise Financial, Inc   45,753 
 9,841      BGC Partners, Inc (Class A)   124 
 5,243      Capital One Financial Corp   433 
 19,021      CBOE Holdings, Inc   1,738 
 993,753      Charles Schwab Corp   42,692 
 507,680      CME Group, Inc   63,582 
 79,142   *,e  Credit Acceptance Corp   20,350 
 473,800      Discover Financial Services   29,466 
 410,900   *  E*TRADE Financial Corp   15,626 
 18,993      Eaton Vance Corp   899 
 6,649      Factset Research Systems, Inc   1,105 
 4,380      Federated Investors, Inc (Class B)   124 
 100,162      IntercontinentalExchange Group, Inc   6,603 
 10,069      Invesco Ltd   354 
 1,059,500      iShares Russell 1000 Growth Index Fund   126,102 
 161,987      Lazard Ltd (Class A)   7,505 
 3,441      Legg Mason, Inc   131 
 13,245      Leucadia National Corp   346 
 219,144      LPL Financial Holdings, Inc   9,305 
 48,320      MarketAxess Holdings, Inc   9,717 
 28,672      Moody’s Corp   3,489 
 3,087      Morningstar, Inc   242 
 54,638      MSCI, Inc (Class A)   5,627 
 5,755      Raymond James Financial, Inc   462 
 658,812      S&P Global, Inc   96,180 
 23,017      SEI Investments Co   1,238 
226

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 22,166      State Street Corp  $1,989 
 2,315,500      Synchrony Financial   69,048 
 6,315      T Rowe Price Group, Inc   469 
 38,989      TD Ameritrade Holding Corp   1,676 
 63,800      Two Harbors Investment Corp   632 
 1,838      Voya Financial, Inc   68 
        TOTAL DIVERSIFIED FINANCIALS   563,075 
              
ENERGY - 0.9%
 19,584   *  Antero Resources Corp   423 
 3,421      Apache Corp   164 
 365,322      Cabot Oil & Gas Corp   9,162 
 23,267   *  Cheniere Energy, Inc   1,133 
 10,529   *,e  Chesapeake Energy Corp   52 
 15,070      Cimarex Energy Co   1,417 
 733,048   *  Concho Resources, Inc   89,087 
 6,615   *  Continental Resources, Inc   214 
 217,241      Devon Energy Corp   6,945 
 3,836   *  Diamondback Energy, Inc   341 
 682,362      EOG Resources, Inc   61,768 
 2,653   *  Gulfport Energy Corp   39 
 100,962      Halliburton Co   4,312 
 27,924   *  Laredo Petroleum Holdings, Inc   294 
 34,274   *  Newfield Exploration Co   976 
 36,143      Oneok, Inc   1,885 
 1,198,806   *  Parsley Energy, Inc   33,267 
 14,942   *  Rice Energy, Inc   398 
 9,171   e  RPC, Inc   185 
 11,375   *  RSP Permian, Inc   367 
 20,836      Williams Cos, Inc   631 
        TOTAL ENERGY   213,060 
              
FOOD & STAPLES RETAILING - 0.6%
 162,060      CVS Health Corp   13,039 
 1,550,603      Kroger Co   36,160 
 84,557   *  Rite Aid Corp   250 
 23,148   *  Sprouts Farmers Market, Inc   525 
 819,437      Sysco Corp   41,242 
 477,045      Walgreens Boots Alliance, Inc   37,358 
 112,308      Whole Foods Market, Inc   4,729 
        TOTAL FOOD & STAPLES RETAILING   133,303 
              
FOOD, BEVERAGE & TOBACCO - 3.8%
 703,416      Altria Group, Inc   52,383 
 800,000      Associated British Foods plc   30,614 
 2,998,082   *  Becle SAB de C.V.   5,110 
 16,097   *  Blue Buffalo Pet Products, Inc   367 
 8,806      Brown-Forman Corp   434 
 28,676      Brown-Forman Corp (Class B)   1,394 
 243,275      Campbell Soup Co   12,687 
 1,073,330      Coca-Cola Co   48,139 
227

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
 27,906      Constellation Brands, Inc (Class A)  $5,406 
 1,328,000      Costco Wholesale Corp   212,387 
 3,000,000      Davide Campari-Milano S.p.A   21,209 
 324,996      Dr Pepper Snapple Group, Inc   29,610 
 133,641      General Mills, Inc   7,404 
 61,650      Hershey Co   6,619 
 306,600      Ingredion, Inc   36,550 
 278,938      Kellogg Co   19,375 
 375,000      Kraft Heinz Co   32,115 
 255,429      Lamb Weston Holdings, Inc   11,249 
 19,571      McCormick & Co, Inc   1,908 
 325,000      Molson Coors Brewing Co (Class B)   28,061 
 2,927,504   *  Monster Beverage Corp   145,438 
 594,409      PepsiCo, Inc   68,648 
 125,410      Philip Morris International, Inc   14,729 
 8,126   *  Pilgrim’s Pride Corp   178 
 454,534      Pinnacle Foods, Inc   26,999 
 452,852      Reynolds American, Inc   29,454 
 315,433      Suntory Beverage & Food Ltd   14,662 
 2,819   *  TreeHouse Foods, Inc   230 
 384,200      Tyson Foods, Inc (Class A)   24,063 
        TOTAL FOOD, BEVERAGE & TOBACCO   887,422 
              
HEALTH CARE EQUIPMENT & SERVICES - 6.0%
 56,873   *  Abiomed, Inc   8,150 
 277,692      Aetna Inc   42,162 
 81,291   *  Align Technology, Inc   12,203 
 224,489      AmerisourceBergen Corp   21,221 
 190,500      Anthem, Inc   35,839 
 6,796   *  athenahealth, Inc   955 
 73,609      Bard (C.R.), Inc   23,269 
 536,189      Baxter International, Inc   32,461 
 38,526      Becton Dickinson & Co   7,517 
 236,068   *  Boston Scientific Corp   6,544 
 559,084   *  Centene Corp   44,660 
 1,274,616   *  Cerner Corp   84,724 
 615,919      Cigna Corp   103,099 
 6,473      Cooper Cos, Inc   1,550 
 26,700      Danaher Corp   2,253 
 14,728   *  DexCom, Inc   1,077 
 181,630   *  Edwards Lifesciences Corp   21,476 
 204,500   *  Envision Healthcare Corp   12,816 
 688,239   *  Express Scripts Holding Co   43,937 
 333,520   *  HCA Holdings, Inc   29,083 
 362,800      Healthsouth Corp   17,560 
 13,627   *  Henry Schein, Inc   2,494 
 10,601      Hill-Rom Holdings, Inc   844 
 704,394   *  Hologic, Inc   31,965 
 255,109      Humana, Inc   61,384 
 91,134   *  Idexx Laboratories, Inc   14,711 
 239,169   *  Intuitive Surgical, Inc   223,712 
 144,400   *  Laboratory Corp of America Holdings   22,258 
 1,072   *  LifePoint Hospitals, Inc   72 
228

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 168,063      McKesson Corp  $27,653 
 17,276      Medtronic plc   1,533 
 90,069   *  NuVasive, Inc   6,928 
 1,373      Patterson Cos, Inc   64 
 772,532   *  Premier, Inc   27,811 
 24,045      Resmed, Inc   1,872 
 58,654      Stryker Corp   8,140 
 1,266      Teleflex, Inc   263 
 1,822,532      UnitedHealth Group, Inc   337,934 
 219,300      Universal Health Services, Inc (Class B)   26,772 
 15,850   *  Varian Medical Systems, Inc   1,636 
 13,478   *  VCA Antech, Inc   1,244 
 206,857   *  Veeva Systems, Inc   12,682 
 138,482   *  WellCare Health Plans, Inc   24,866 
 12,615      West Pharmaceutical Services, Inc   1,192 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   1,390,586 
              
HOUSEHOLD & PERSONAL PRODUCTS - 1.2%
 42,942      Church & Dwight Co, Inc   2,228 
 18,962      Clorox Co   2,526 
 23,504      Colgate-Palmolive Co   1,742 
 241,013      Energizer Holdings, Inc   11,573 
 1,959,948      Estee Lauder Cos (Class A)   188,116 
 56,407   *,e  Herbalife Ltd   4,024 
 235,153      Kimberly-Clark Corp   30,361 
 2,412      Nu Skin Enterprises, Inc (Class A)   152 
 22,565      Procter & Gamble Co   1,967 
 203,011      Spectrum Brands, Inc   25,384 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS   268,073 
              
INSURANCE - 0.6%
 52,988      Allstate Corp   4,686 
 19,299      American International Group, Inc   1,207 
 44,867      Aon plc   5,965 
 2,675   *  Arch Capital Group Ltd   249 
 21,070      Arthur J. Gallagher & Co   1,206 
 3,241      Aspen Insurance Holdings Ltd   162 
 41,487      Assurant, Inc   4,302 
 215,919      Chubb Ltd   31,390 
 3,139      Erie Indemnity Co (Class A)   393 
 381,733      Marsh & McLennan Cos, Inc   29,760 
 1,303,460      Progressive Corp   57,469 
 516      RenaissanceRe Holdings Ltd   72 
 83,129      XL Group Ltd   3,641 
        TOTAL INSURANCE   140,502 
              
MATERIALS - 3.7%
 99,000      Air Products & Chemicals, Inc   14,163 
 2,881,900   *  AK Steel Holding Corp   18,934 
 926,216      Albemarle Corp   97,753 
 2,483      Aptargroup, Inc   216 
229

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
 1,699      Ardagh Group S.A.  $38 
 213,341      Avery Dennison Corp   18,853 
 36,604   *  Axalta Coating Systems Ltd   1,173 
 33,012      Ball Corp   1,393 
 1,767,259   *  Berry Plastics Group, Inc   100,751 
 14,336      Celanese Corp (Series A)   1,361 
 699,131      Chemours Co   26,511 
 398,274   *  Crown Holdings, Inc   23,761 
 318,800      Dow Chemical Co   20,107 
 8,080      Eagle Materials, Inc   747 
 44,273      Ecolab, Inc   5,877 
 339,199      EI du Pont de Nemours & Co   27,377 
 23,054      FMC Corp   1,684 
 748,924   *  Freeport-McMoRan Copper & Gold, Inc (Class B)   8,995 
 1,011,398      Graphic Packaging Holding Co   13,937 
 1,154,003      Huntsman Corp   29,819 
 13,618      International Flavors & Fragrances, Inc   1,838 
 389,939      International Paper Co   22,074 
 402,656      LyondellBasell Industries AF S.C.A   33,980 
 9,792      Martin Marietta Materials, Inc   2,179 
 1,049,633      Monsanto Co   124,235 
 1,183      NewMarket Corp   545 
 1,261,300      Olin Corp   38,192 
 21,893   *  Owens-Illinois, Inc   524 
 44,821      Packaging Corp of America   4,993 
 17,453   *  Platform Specialty Products Corp   221 
 481,111      PPG Industries, Inc   52,903 
 43,220      Praxair, Inc   5,729 
 4,154      Royal Gold, Inc   325 
 20,691      RPM International, Inc   1,129 
 6,986      Scotts Miracle-Gro Co (Class A)   625 
 17,140      Sealed Air Corp   767 
 319,037      Sherwin-Williams Co   111,969 
 12,666      Silgan Holdings, Inc   402 
 12,614      Southern Copper Corp (NY)   437 
 5,159      Steel Dynamics, Inc   185 
 122,182      Vulcan Materials Co   15,478 
 3,034      Westlake Chemical Corp   201 
 249,962      WR Grace & Co   18,000 
        TOTAL MATERIALS   850,381 
              
MEDIA - 4.4%
 365,445   *  AMC Networks, Inc   19,518 
 810      Cable One, Inc   576 
 1,152,711      CBS Corp (Class B)   73,520 
 42,402   *  Charter Communications, Inc   14,283 
 10,801,328      Comcast Corp (Class A)   420,388 
 518,300   *  Discovery Communications, Inc (Class A)   13,388 
 378,941   *  DISH Network Corp (Class A)   23,782 
 1,824,248      Interpublic Group of Cos, Inc   44,877 
 5,805   *  Lions Gate Entertainment Corp (Class A)   164 
 10,999   *  Lions Gate Entertainment Corp (Class B)   289 
 298,950   *  Live Nation, Inc   10,418 
230

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 251   *  Madison Square Garden Co  $49 
 39,854      Omnicom Group, Inc   3,304 
 5,033      Regal Entertainment Group (Class A)   103 
 316,754      Scripps Networks Interactive (Class A)   21,637 
 241,125   e  Sirius XM Holdings, Inc   1,319 
 1,264,313      Time Warner, Inc   126,950 
 9,210      Twenty-First Century Fox, Inc   261 
 3,897      Twenty-First Century Fox, Inc (Class B)   109 
 757,400      Viacom, Inc (Class B)   25,426 
 2,124,618      Walt Disney Co   225,740 
        TOTAL MEDIA   1,026,101 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 8.2%
 1,008,769      AbbVie, Inc   73,146 
 16,614   *  Acadia Pharmaceuticals, Inc   463 
 13,520      Agilent Technologies, Inc   802 
 6,605   *,e  Agios Pharmaceuticals, Inc   340 
 17,059   *  Akorn, Inc   572 
 916,019   *  Alexion Pharmaceuticals, Inc   111,452 
 26,233   *  Alkermes plc   1,521 
 829,590      Allergan plc   201,665 
 11,261   *  Alnylam Pharmaceuticals, Inc   898 
 414,443      Amgen, Inc   71,379 
 230,000      Bayer AG.   29,810 
 300,722   *  Biogen Idec, Inc   81,604 
 1,006,734   *  BioMarin Pharmaceutical, Inc   91,432 
 6,364      Bio-Techne Corp   748 
 59,821   *  Bioverativ, Inc   3,599 
 593,746      Bristol-Myers Squibb Co   33,084 
 6,536      Bruker BioSciences Corp   188 
 1,826,641   *  Celgene Corp   237,226 
 107,411   *  Charles River Laboratories International, Inc   10,865 
 889,742      Eli Lilly & Co   73,226 
 49,752   *  Exelixis, Inc   1,225 
 1,220,634      Gilead Sciences, Inc   86,396 
 652,586   *  Illumina, Inc   113,237 
 44,835   *  Incyte Corp   5,645 
 3,077   *,e  Intercept Pharmaceuticals, Inc   373 
 6,735   *,e  Intrexon Corp   162 
 21,262   *  Ionis Pharmaceuticals, Inc   1,082 
 282,769      Ipsen   38,693 
 227,316   *  Jazz Pharmaceuticals plc   35,348 
 526,683      Johnson & Johnson   69,675 
 260,480      Lonza Group AG.   56,424 
 25,997      Merck & Co, Inc   1,666 
 4,364   *  Mettler-Toledo International, Inc   2,568 
 618,400   *  Mylan NV   24,006 
 73,052   *  Neurocrine Biosciences, Inc   3,360 
 661,317      Novo Nordisk AS   28,415 
 6,311   *,e  Opko Health, Inc   42 
 5,788   *  Patheon NV   202 
 3,583      PerkinElmer, Inc   244 
231

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES   COMPANY  VALUE
(000)
 
 371,100      Pfizer, Inc  $12,465 
 12,996      QIAGEN NV   436 
 239,394   *  Quintiles Transnational Holdings, Inc   21,426 
 153,278   *  Regeneron Pharmaceuticals, Inc   75,281 
 16,477   *  Seattle Genetics, Inc   853 
 6,392   *  TESARO, Inc   894 
 30,358      Thermo Fisher Scientific, Inc   5,297 
 722,626   *  Vertex Pharmaceuticals, Inc   93,125 
 93,241   *  Waters Corp   17,141 
 3,019,429      Zoetis, Inc   188,352 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   1,908,053 
              
REAL ESTATE - 0.8%
 296,725      American Tower Corp   39,263 
 96,296      Boston Properties, Inc   11,846 
 816,937   *  CBRE Group, Inc   29,737 
 5,842      Coresite Realty   605 
 247,246      Crown Castle International Corp   24,769 
 20,939      CubeSmart   503 
 13,103      CyrusOne, Inc   730 
 19,287      Digital Realty Trust, Inc   2,178 
 20,241      Douglas Emmett, Inc   773 
 13,339      DuPont Fabros Technology, Inc   816 
 13,398      Equinix, Inc   5,750 
 123,520      Equity Lifestyle Properties, Inc   10,665 
 17,788      Extra Space Storage, Inc   1,387 
 4,813      Federal Realty Investment Trust   608 
 327,051      Gaming and Leisure Properties, Inc   12,320 
 2,650      Hudson Pacific Properties   91 
 39,508      Iron Mountain, Inc   1,358 
 12,760      Lamar Advertising Co   939 
 870,000      MGM Growth Properties LLC   25,395 
 105,144      Outfront Media, Inc   2,431 
 25,516      Public Storage, Inc   5,321 
 20,694   *  SBA Communications Corp   2,792 
 48,586      Simon Property Group, Inc   7,859 
 1,035      Tanger Factory Outlet Centers, Inc   27 
 5,062      Taubman Centers, Inc   301 
        TOTAL REAL ESTATE   188,464 
              
RETAILING - 9.7%
 3,253      Advance Auto Parts, Inc   379 
 918,299   *  Amazon.com, Inc   888,913 
 500,000   *  ASOS plc   37,425 
 32,679   *  AutoZone, Inc   18,642 
 201,300      Best Buy Co, Inc   11,540 
 81,118   *  Burlington Stores, Inc   7,462 
 961,836   *  Carmax, Inc   60,653 
 765,152   *  Ctrip.com International Ltd (ADR)   41,211 
 522,799      Dick’s Sporting Goods, Inc   20,823 
 336,413      Dollar General Corp   24,252 
 265,604   *  Dollar Tree, Inc   18,571 
232

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 989,329      Expedia, Inc  $147,361 
 76,932      Fast Retailing Co Ltd   25,728 
 1,766   *  Floor & Decor Holdings, Inc   69 
 1,576      Foot Locker, Inc   78 
 494,300      GameStop Corp (Class A)   10,682 
 2,072      Gap, Inc   46 
 9,331      Genuine Parts Co   865 
 4,001,000   *  Groupon, Inc   15,364 
 2,508,728      Home Depot, Inc   384,839 
 400,000      Industria De Diseno Textil S.A.   15,362 
 6,624      L Brands, Inc   357 
 1,734   *  Liberty Expedia Holdings, Inc   94 
 2,377,948   *  Liberty Interactive Corp   58,355 
 344,238   *  LKQ Corp   11,343 
 1,027,416      Lowe’s Companies, Inc   79,655 
 15,314   *  Michaels Cos, Inc   284 
 776,355   *  NetFlix, Inc   115,995 
 20,136   e  Nordstrom, Inc   963 
 15,410   *  O’Reilly Automotive, Inc   3,371 
 58,932   *  Priceline.com, Inc   110,234 
 331,015      Ross Stores, Inc   19,109 
 8,204   *  Sally Beauty Holdings, Inc   166 
 315,000      Tiffany & Co   29,569 
 889,747      TJX Companies, Inc   64,213 
 22,174      Tractor Supply Co   1,202 
 8,947   *  TripAdvisor, Inc   342 
 10,180   *  Ulta Beauty, Inc   2,925 
 819,400   *  Urban Outfitters, Inc   15,192 
 6,607   *  Wayfair, Inc   508 
 29,458      Williams-Sonoma, Inc   1,429 
        TOTAL RETAILING   2,245,571 
              
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.7%
 1,158,587   *,e  Advanced Micro Devices, Inc   14,459 
 62,350      Analog Devices, Inc   4,851 
 4,558,188      Applied Materials, Inc   188,299 
 1,306,130      Broadcom Ltd   304,394 
 11,343   *  Cavium, Inc   705 
 528,969      Cypress Semiconductor Corp   7,220 
 399,900      Intel Corp   13,493 
 314,420      Kla-Tencor Corp   28,772 
 629,383      Lam Research Corp   89,014 
 402,670      Maxim Integrated Products, Inc   18,080 
 227,018      Microchip Technology, Inc   17,521 
 136,461   *  Micron Technology, Inc   4,075 
 162,753   *  Microsemi Corp   7,617 
 665,112      NVIDIA Corp   96,148 
 32,526   *  NXP Semiconductors NV   3,560 
 67,832   *  ON Semiconductor Corp   952 
 11,357   *  Qorvo, Inc   719 
 248,400      Qualcomm, Inc   13,717 
 67,087      Skyworks Solutions, Inc   6,437 
233

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES     COMPANY  VALUE
(000)
 
 31,956      Teradyne, Inc  $960 
 401,133      Texas Instruments, Inc   30,859 
 1,702      Versum Materials, Inc   55 
 40,591      Xilinx, Inc   2,611 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   854,518 
              
SOFTWARE & SERVICES - 29.1%
 513,210      Accenture plc   63,474 
 1,579,254      Activision Blizzard, Inc   90,918 
 2,536,713   *  Adobe Systems, Inc   358,793 
 8,364      Alliance Data Systems Corp   2,147 
 441,291   *  Alphabet, Inc (Class A)   410,259 
 914,325   *  Alphabet, Inc (Class C)   830,875 
 356,691      Amdocs Ltd   22,992 
 14,703   *  Ansys, Inc   1,789 
 12,588   *  Atlassian Corp plc   443 
 29,271   *  Autodesk, Inc   2,951 
 86,081      Automatic Data Processing, Inc   8,820 
 160,000   *  Baidu, Inc (ADR)   28,618 
 4,958   *  Black Knight Financial Services, Inc   203 
 271,917      Booz Allen Hamilton Holding Co   8,848 
 139,488      Broadridge Financial Solutions, Inc   10,540 
 47,743   *  Cadence Design Systems, Inc   1,599 
 112,349      CDK Global, Inc   6,972 
 239,800   *  Check Point Software Technologies   26,157 
 500,000   *  Cimpress NV   47,265 
 382,184   *  Citrix Systems, Inc   30,414 
 179,978      Cognizant Technology Solutions Corp (Class A)   11,951 
 5,533   *  CoStar Group, Inc   1,458 
 445,785      CSRA, Inc   14,154 
 213,037   *  Dell Technologies, Inc-VMware Inc   13,019 
 97,880      DST Systems, Inc   6,039 
 784,703   *  DXC Technology Co   60,202 
 3,332,682   *  eBay, Inc   116,377 
 400,314   *  Electronic Arts, Inc   42,321 
 8,611   *  Euronet Worldwide, Inc   752 
 5,182,669   *  Facebook, Inc   782,479 
 235,042      Fidelity National Information Services, Inc   20,073 
 499,054   *  First American Corp   21,649 
 720,315   *  First Data Corp   13,110 
 36,554   *  Fiserv, Inc   4,472 
 295,821   *  FleetCor Technologies, Inc   42,660 
 25,348   *  Fortinet, Inc   949 
 344,937   *  Gartner, Inc   42,603 
 446,013      Genpact Ltd   12,413 
 260,461      Global Payments, Inc   23,525 
 74,088   *  GoDaddy, Inc   3,143 
 1,000,000   *  GrubHub, Inc   43,600 
 5,017   *  Guidewire Software, Inc   345 
 1,591,726   *  IAC/InterActiveCorp   164,330 
 496,430      International Business Machines Corp   76,366 
 3,137,979      Intuit, Inc   416,755 
 13,338      Jack Henry & Associates, Inc   1,385 
234

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 233,700      Leidos Holdings, Inc  $12,080 
 66,737      LogMeIn, Inc   6,974 
 11,892   *  Manhattan Associates, Inc   571 
 2,246,494      MasterCard, Inc (Class A)   272,837 
 6,302   *,e  Match Group, Inc   109 
 14,132,957      Microsoft Corp   974,185 
 94,500      Netease.com (ADR)   28,409 
 2,099,811      Oracle Corp   105,285 
 38,860   *,e  Pandora Media, Inc   347 
 55,439      Paychex, Inc   3,157 
 4,646,050   *  PayPal Holdings, Inc   249,353 
 19,756   *  PTC, Inc   1,089 
 717,942   *  Red Hat, Inc   68,743 
 28,012      Sabre Corp   610 
 3,203,652   *  salesforce.com, Inc   277,436 
 884,596   g  Scout24 AG.   32,539 
 228,814   *  ServiceNow, Inc   24,254 
 23,709   *  Splunk, Inc   1,349 
 38,232   *  Square, Inc   897 
 230,576      SS&C Technologies Holdings, Inc   8,856 
 106,396      Symantec Corp   3,006 
 72,211   *  Synopsys, Inc   5,266 
 10,299   *  Tableau Software, Inc   631 
 104,890   *  Take-Two Interactive Software, Inc   7,697 
 4,809,203      Tencent Holdings Ltd   172,530 
 420,200   *  Teradata Corp   12,392 
 314,459      Total System Services, Inc   18,317 
 7,272   *  Twitter, Inc   130 
 5,937   *  Tyler Technologies, Inc   1,043 
 4,900   *,e  Ultimate Software Group, Inc   1,029 
 209,461   *  Vantiv, Inc   13,267 
 15,124   *  VeriSign, Inc   1,406 
 5,174,584      Visa, Inc (Class A)   485,272 
 296,296   *,e  VMware, Inc (Class A)   25,905 
 81,278      Western Union Co   1,548 
 5,396   *  WEX, Inc   563 
 74,771   *  Workday, Inc   7,253 
 6,265   *  Zillow Group, Inc   306 
 12,541   *  Zillow Group, Inc (Class C)   615 
        TOTAL SOFTWARE & SERVICES   6,717,463 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 5.4%
 51,539      Amphenol Corp (Class A)   3,805 
 7,612,795   d  Apple, Inc   1,096,395 
 9,114   *  Arista Networks, Inc   1,365 
 373,100   *  ARRIS International plc   10,454 
 26,396      CDW Corp   1,651 
 417,200   *  Ciena Corp   10,438 
 14,293      Cognex Corp   1,213 
 31,509   *  Coherent, Inc   7,089 
 420,901   *  CommScope Holding Co, Inc   16,007 
 128,317      Corning, Inc   3,856 
235

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

SHARES      COMPANY  VALUE
(000)
 
 88,064   *  F5 Networks, Inc  $11,189 
 12,465      Flir Systems, Inc   432 
 5,388      Harris Corp   588 
 6,190   *  IPG Photonics Corp   898 
 222,400   *  Lumentum Holdings, Inc   12,688 
 103,946      Motorola, Inc   9,016 
 14,338      National Instruments Corp   577 
 240,164   *  NCR Corp   9,808 
 40,044      NetApp, Inc   1,604 
 105,036   *  Palo Alto Networks, Inc   14,055 
 34,159   *  Trimble Navigation Ltd   1,218 
 7,159      Universal Display Corp   782 
 309,577      Western Digital Corp   27,429 
 33,624   *  Zebra Technologies Corp (Class A)   3,380 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   1,245,937 
              
TELECOMMUNICATION SERVICES - 0.7%
 680,100      AT&T, Inc   25,660 
 326,900   e  CenturyLink, Inc   7,807 
 1,643,700   *  T-Mobile US, Inc   99,641 
 656,958      Verizon Communications, Inc   29,340 
 254,412   *  Zayo Group Holdings, Inc   7,861 
        TOTAL TELECOMMUNICATION SERVICES   170,309 
              
TRANSPORTATION - 2.6%
 170,766      Alaska Air Group, Inc   15,328 
 33,191      American Airlines Group, Inc   1,670 
 24,154      CH Robinson Worldwide, Inc   1,659 
 391      Copa Holdings S.A. (Class A)   46 
 319,666      CSX Corp   17,441 
 2,219,057      Delta Air Lines, Inc   119,252 
 21,809      Expeditors International of Washington, Inc   1,232 
 542,007      FedEx Corp   117,794 
 14,912      J.B. Hunt Transport Services, Inc   1,363 
 7,195      Landstar System, Inc   616 
 6,556      Old Dominion Freight Line   624 
 604,139      Southwest Airlines Co   37,541 
 600,000   *  Spirit Airlines, Inc   30,990 
 1,973,177      Union Pacific Corp   214,899 
 115,200   *  United Continental Holdings, Inc   8,669 
 221,945      United Parcel Service, Inc (Class B)   24,545 
 13,993   *  XPO Logistics, Inc   904 
        TOTAL TRANSPORTATION   594,573 
              
UTILITIES - 0.0%
 10,158      NRG Energy, Inc   175 
        TOTAL UTILITIES   175 
        TOTAL COMMON STOCKS   22,908,989 
        (Cost $17,842,365)     
236

COLLEGE RETIREMENT EQUITIES FUND - Growth Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
SHORT-TERM INVESTMENTS - 1.4%
GOVERNMENT AGENCY DEBT - 0.0%
$175,000      Federal Home Loan Bank (FHLB)   0.871%  07/14/17  $175 
        TOTAL GOVERNMENT AGENCY DEBT           175 
                      
TREASURY DEBT - 1.0%
 32,900,000      United States Treasury Bill   0.788   07/27/17   32,882 
 26,000,000      United States Treasury Bill   0.912   08/03/17   25,981 
 61,050,000      United States Treasury Bill   0.927-0.938   09/14/17   60,933 
 50,000,000      United States Treasury Bill   0.959   09/21/17   49,893 
 50,000,000      United States Treasury Bill   0.999   09/28/17   49,878 
        TOTAL TREASURY DEBT           219,567 
                      
SHARES      COMPANY             
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 0.4%
 97,727,298   c  State Street Navigator Securities Lending Government Money Market Portfolio   97,727 
        TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES   97,727 
                      
        TOTAL SHORT-TERM INVESTMENTS   317,469 
        (Cost $317,462)     
        TOTAL INVESTMENTS - 100.5%   23,226,458 
        (Cost $18,159,827)     
        OTHER ASSETS & LIABILITIES, NET - (0.5)%   (118,659)
        NET ASSETS - 100.0%  $23,107,799 
         
       
      Abbreviation(s):
      ADR      American Depositary Receipt
       
  *   Non-income producing
  c   Investments made with cash collateral received from securities on loan.
  d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
  e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $95,566,000.
  g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/17, the aggregate value of these securities was $61,736,000 or 0.3% of net assets.
       
      Cost amounts are in thousands.

237

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

COLLEGE RETIREMENT EQUITIES FUND
EQUITY INDEX ACCOUNT
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2017

 

SHARES      COMPANY  VALUE
(000)
 
COMMON STOCKS - 99.8%     
              
AUTOMOBILES & COMPONENTS - 1.0%     
 67,741      Adient plc  $4,429 
 60,325   *  American Axle & Manufacturing Holdings, Inc   941 
 153,664      BorgWarner, Inc   6,509 
 37,696      Cooper Tire & Rubber Co   1,361 
 12,534   *  Cooper-Standard Holding, Inc   1,264 
 105,026      Dana Holding Corp   2,345 
 194,598      Delphi Automotive plc   17,056 
 19,677   *  Dorman Products, Inc   1,629 
 2,832,335      Ford Motor Co   31,694 
 25,297   *  Fox Factory Holding Corp   900 
 996,134      General Motors Co   34,795 
 205,475      Gentex Corp   3,898 
 26,543   *  Gentherm, Inc   1,030 
 180,979      Goodyear Tire & Rubber Co   6,327 
 126,967      Harley-Davidson, Inc   6,859 
 18,367   *  Horizon Global Corp   264 
 17,506      LCI Industries, Inc   1,793 
 49,826      Lear Corp   7,079 
 36,302   *  Modine Manufacturing Co   601 
 13,147   *  Motorcar Parts of America, Inc   371 
 5,808   *  Shiloh Industries, Inc   68 
 24,709      Spartan Motors, Inc   219 
 15,087      Standard Motor Products, Inc   788 
 20,247   *  Stoneridge, Inc   312 
 17,815      Superior Industries International, Inc   366 
 38,429      Tenneco, Inc   2,222 
 94,472   *  Tesla, Inc   34,162 
 35,644      Thor Industries, Inc   3,725 
 15,398      Tower International, Inc   346 
 23,581   *  Visteon Corp   2,407 
 14,882   *  VOXX International Corp (Class A)   122 
 22,457      Winnebago Industries, Inc   786 
        TOTAL AUTOMOBILES & COMPONENTS   176,668 
              
BANKS - 6.8%            
 12,408      1st Source Corp   595 
 10,115      Access National Corp   268 
 4,570      ACNB Corp   139 
 7,958   *  Allegiance Bancshares, Inc   305 
 5,882      American National Bankshares, Inc   217 
 26,136      Ameris Bancorp   1,260 
 7,069   e  Ames National Corp   216 
 7,714      Arrow Financial Corp   244 
 2,122   *  ASB Bancorp, Inc   93 
238

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 110,942      Associated Banc-Corp  $2,796 
 66,701      Astoria Financial Corp   1,344 
 14,762   *  Atlantic Capital Bancshares, Inc   280 
 31,112   e  Banc of California, Inc   669 
 5,787      Bancfirst Corp   559 
 21,466      Banco Latinoamericano de Exportaciones S.A. (Class E)   588 
 62,103      Bancorpsouth, Inc   1,894 
 34,155      Bank Mutual Corp   313 
 7,245,516      Bank of America Corp   175,776 
 11,787   *  Bank of Commerce Holdings   130 
 31,633      Bank of Hawaii Corp   2,625 
 3,864      Bank of Marin Bancorp   238 
 38,856      Bank of NT Butterfield & Son Ltd   1,325 
 82,422      Bank of the Ozarks, Inc   3,863 
 12,265      BankFinancial Corp   183 
 74,384      BankUnited   2,507 
 3,897      Bankwell Financial Group, Inc   122 
 23,725      Banner Corp   1,341 
 11,016      Bar Harbor Bankshares   339 
 588,833      BB&T Corp   26,739 
 7,059      BCB Bancorp, Inc   108 
 15,407      Bear State Financial, Inc   146 
 51,465      Beneficial Bancorp, Inc   772 
 22,749      Berkshire Hills Bancorp, Inc   800 
 17,706      Blue Hills Bancorp, Inc   317 
 43,167   *,e  BofI Holding, Inc   1,024 
 18,057      BOK Financial Corp   1,519 
 59,217      Boston Private Financial Holdings, Inc   909 
 13,328      Bridge Bancorp, Inc   444 
 54,590      Brookline Bancorp, Inc   797 
 12,987      Bryn Mawr Bank Corp   552 
 6,346   *  BSB Bancorp, Inc   186 
 2,353      C&F Financial Corp   110 
 6,593   *  Cadence BanCorp   144 
 11,436      Camden National Corp   491 
 1      Canadian Imperial Bank of Commerce/Canada    0^
 20,990      Capital Bank Financial Corp   800 
 9,158      Capital City Bank Group, Inc   187 
 92,364      Capitol Federal Financial   1,312 
 5,956   *  Capstar Financial Holdings, Inc   106 
 10,298      Carolina Financial Corp   333 
 54,668      Cathay General Bancorp   2,075 
 38,989      Centerstate Banks of Florida, Inc   969 
 21,511      Central Pacific Financial Corp   677 
 6,214      Central Valley Community Bancorp   138 
 2,245      Century Bancorp, Inc   143 
 9,348      Charter Financial Corp   168 
 48,933      Chemical Financial Corp   2,369 
 2,189      Chemung Financial Corp   89 
 146,863      CIT Group, Inc   7,152 
 2,004,257      Citigroup, Inc   134,045 
 9,568      Citizens & Northern Corp   223 
 368,205      Citizens Financial Group, Inc   13,138 
239

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 10,955      City Holding Co  $722 
 7,262      Civista Bancshares, Inc   152 
 16,962      Clifton Bancorp, Inc   280 
 9,772      CNB Financial Corp   234 
 26,184      CoBiz, Inc   456 
 5,854      Codorus Valley Bancorp, Inc   166 
 42,696      Columbia Banking System, Inc   1,701 
 127,987      Comerica, Inc   9,374 
 64,734      Commerce Bancshares, Inc   3,679 
 4,712   *  Commerce Union Bancshares, Inc   112 
 35,397      Community Bank System, Inc   1,974 
 15,668   *  Community Bankers Trust Corp   129 
 2,846   *  Community Financial Corp   110 
 11,638      Community Trust Bancorp, Inc   509 
 21,722      ConnectOne Bancorp, Inc   490 
 3,700      County Bancorp, Inc   89 
 12,656   *  CU Bancorp   457 
 40,574      Cullen/Frost Bankers, Inc   3,810 
 19,196   *  Customers Bancorp, Inc   543 
 75,634      CVB Financial Corp   1,696 
 23,810      Dime Community Bancshares   467 
 2,089      DNB Financial Corp   72 
 22,688   *  Eagle Bancorp, Inc   1,436 
 104,445      East West Bancorp, Inc   6,118 
 4,525   *,e  Entegra Financial Corp   103 
 6,481      Enterprise Bancorp, Inc   230 
 16,077      Enterprise Financial Services Corp   656 
 7,477   *  Equity Bancshares, Inc   229 
 6,121      ESSA Bancorp, Inc   90 
 55,323   *  Essent Group Ltd   2,055 
 3,168      Evans Bancorp, Inc   127 
 3,327      Farmers & Merchants Bancorp, Inc   206 
 5,336      Farmers Capital Bank Corp   206 
 18,150      Farmers National Banc Corp   263 
 4,563   *  FB Financial Corp   165 
 25,303   *  FCB Financial Holdings, Inc   1,208 
 6,481      Federal Agricultural Mortgage Corp (Class C)   419 
 15,456      Fidelity Southern Corp   353 
 545,739      Fifth Third Bancorp   14,167 
 10,211      Financial Institutions, Inc   304 
 17,372      First Bancorp (NC)   543 
 114,850   *  First Bancorp (Puerto Rico)   665 
 6,485      First Bancorp, Inc   175 
 6,018   e  First Bancshares, Inc   166 
 23,093      First Busey Corp   677 
 6,176      First Business Financial Services, Inc   143 
 5,431      First Citizens Bancshares, Inc (Class A)   2,024 
 69,402      First Commonwealth Financial Corp   880 
 12,139      First Community Bancshares, Inc   332 
 9,229   *  First Community Financial Partners, Inc   119 
 10,568      First Connecticut Bancorp   271 
 7,726      First Defiance Financial Corp   407 
240

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 44,691      First Financial Bancorp  $1,238 
 46,159   e  First Financial Bankshares, Inc   2,040 
 8,330      First Financial Corp   394 
 6,257      First Financial Northwest, Inc   101 
 19,660   *  First Foundation, Inc   323 
 2,748   e  First Guaranty Bancshares, Inc   75 
 38,811      First Hawaiian, Inc   1,188 
 168,308      First Horizon National Corp   2,932 
 4,089      First Internet Bancorp   115 
 18,329      First Interstate Bancsystem, Inc   682 
 29,933      First Merchants Corp   1,201 
 7,120      First Mid-Illinois Bancshares, Inc   244 
 73,424      First Midwest Bancorp, Inc   1,711 
 7,602   *  First Northwest Bancorp   120 
 15,462      First of Long Island Corp   442 
 113,598      First Republic Bank   11,371 
 15,789   *  Flagstar Bancorp, Inc   487 
 20,105      Flushing Financial Corp   567 
 3,521   *  FNB Bancorp   97 
 228,101      FNB Corp   3,230 
 8,854   *  Franklin Financial Network, Inc   365 
 125,735      Fulton Financial Corp   2,389 
 14,703      German American Bancorp, Inc   501 
 55,696      Glacier Bancorp, Inc   2,039 
 7,809      Great Southern Bancorp, Inc   418 
 42,914      Great Western Bancorp, Inc   1,751 
 14,667   *  Green Bancorp, Inc   285 
 2,003   e  Greene County Bancorp, Inc   54 
 16,942      Guaranty Bancorp   461 
 1,224      Guaranty Bancshares, Inc   39 
 59,807      Hancock Holding Co   2,931 
 23,963      Hanmi Financial Corp   682 
 9,284   *  HarborOne Bancorp, Inc   185 
 17,800      Heartland Financial USA, Inc   838 
 25,661      Heritage Commerce Corp   354 
 22,188      Heritage Financial Corp   588 
 54,190      Hilltop Holdings, Inc   1,420 
 997      Hingham Institution for Savings   181 
 4,264      Home Bancorp, Inc   181 
 92,162      Home Bancshares, Inc   2,295 
 15,022   *  HomeStreet, Inc   416 
 13,541   *  HomeTrust Bancshares, Inc   330 
 93,574      Hope Bancorp, Inc   1,745 
 15,512      Horizon Bancorp   409 
 6,001   *  Howard Bancorp, Inc   116 
 785,215      Huntington Bancshares, Inc   10,616 
 36,435      IBERIABANK Corp   2,969 
 6,123   *  Impac Mortgage Holdings, Inc   93 
 19,246      Independent Bank Corp (MA)   1,283 
 17,558      Independent Bank Corp (MI)   382 
 12,630      Independent Bank Group, Inc   751 
 40,567      International Bancshares Corp   1,422 
 5,550   *,e  Investar Holding Corp   127 
241

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 186,863      Investors Bancorp, Inc  $2,496 
 2,572,756      JPMorgan Chase & Co   235,150 
 63,473      Kearny Financial Corp   943 
 792,674      Keycorp   14,855 
 32,502      Lakeland Bancorp, Inc   613 
 18,387      Lakeland Financial Corp   844 
 6,780      LCNB Corp   136 
 33,647      LegacyTexas Financial Group, Inc   1,283 
 4,628   *,e  LendingTree, Inc   797 
 14,926   e  Live Oak Bancshares, Inc   361 
 105,042      M&T Bank Corp   17,012 
 19,210      Macatawa Bank Corp   183 
 16,944      MainSource Financial Group, Inc   568 
 4,666   *  Malvern Bancorp, Inc   112 
 58,413      MB Financial, Inc   2,572 
 13,586      MBT Financial Corp   132 
 12,428      Mercantile Bank Corp   391 
 35,757      Meridian Bancorp, Inc   604 
 6,858      Meta Financial Group, Inc   610 
 267,096   *  MGIC Investment Corp   2,991 
 1,778   e  Middlefield Banc Corp   90 
 10,800      Midland States Bancorp, Inc   362 
 6,195      Midsouth Bancorp, Inc   73 
 7,821      MidWestOne Financial Group, Inc   265 
 3,816      MutualFirst Financial, Inc   136 
 19,324      National Bank Holdings Corp   640 
 5,351   e  National Bankshares, Inc   218 
 7,588   *  National Commerce Corp   300 
 20,936   *  Nationstar Mortgage Holdings, Inc   375 
 31,726      NBT Bancorp, Inc   1,172 
 345,387      New York Community Bancorp, Inc   4,535 
 6,480   *  Nicolet Bankshares, Inc   355 
 38,864   *  NMI Holdings, Inc   445 
 5,235      Northeast Bancorp   107 
 33,024      Northfield Bancorp, Inc   566 
 5,019      Northrim BanCorp, Inc   153 
 69,442      Northwest Bancshares, Inc   1,084 
 2,950   *,e  Norwood Financial Corp   125 
 22,825      OceanFirst Financial Corp   619 
 33,903   e  OFG Bancorp   339 
 3,155   e  Ohio Valley Banc Corp   114 
 6,461      Old Line Bancshares, Inc   182 
 90,192      Old National Bancorp   1,556 
 2,349      Old Point Financial Corp   77 
 21,667      Old Second Bancorp, Inc   250 
 14,808      Opus Bank   358 
 26,521      Oritani Financial Corp   452 
 5,318      Orrstown Financial Services, Inc   122 
 14,467      Pacific Continental Corp   370 
 11,579   *  Pacific Mercantile Bancorp   102 
 28,237   *  Pacific Premier Bancorp, Inc   1,042 
 85,767      PacWest Bancorp   4,005 
242

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,093   *  Paragon Commercial Corp  $162 
 9,690      Park National Corp   1,005 
 38,548      Park Sterling Bank   458 
 3,798   *,e  Parke Bancorp, Inc   85 
 13,465   *  PCSB Financial Corp   230 
 11,582      Peapack Gladstone Financial Corp   362 
 2,964      Penns Woods Bancorp, Inc   122 
 9,540   *  PennyMac Financial Services, Inc   159 
 2,960      Peoples Bancorp of North Carolina, Inc   94 
 12,623      Peoples Bancorp, Inc   406 
 5,712      Peoples Financial Services Corp   250 
 249,097      People’s United Financial, Inc   4,399 
 9,341      People’s Utah Bancorp   250 
 36,552   *  PHH Corp   503 
 51,567      Pinnacle Financial Partners, Inc   3,238 
 351,889      PNC Financial Services Group, Inc   43,940 
 72,890      Popular, Inc   3,040 
 8,859      Preferred Bank   474 
 6,765      Premier Financial Bancorp, Inc   139 
 48,016      Prosperity Bancshares, Inc   3,085 
 3,260   *  Provident Bancorp, Inc   73 
 4,497      Provident Financial Holdings, Inc   87 
 45,191      Provident Financial Services, Inc   1,147 
 6,101      Prudential Bancorp, Inc   111 
 8,729      QCR Holdings, Inc   414 
 158,112      Radian Group, Inc   2,585 
 873,329      Regions Financial Corp   12,786 
 30,881      Renasant Corp   1,351 
 6,104      Republic Bancorp, Inc (Class A)   218 
 34,776   *,e  Republic First Bancorp, Inc   322 
 13,238      Riverview Bancorp, Inc   88 
 25,676      S&T Bancorp, Inc   921 
 17,394      Sandy Spring Bancorp, Inc   707 
 28,631   *  Seacoast Banking Corp of Florida   690 
 32,848      ServisFirst Bancshares, Inc   1,212 
 8,913      Shore Bancshares, Inc   147 
 8,511      SI Financial Group, Inc   137 
 8,919      Sierra Bancorp   219 
 39,194   *  Signature Bank   5,626 
 22,158      Simmons First National Corp (Class A)   1,172 
 5,382   *  SmartFinancial, Inc   129 
 20,830      South State Corp   1,785 
 4,079   *  Southern First Bancshares, Inc   151 
 4,139      Southern Missouri Bancorp, Inc   134 
 8,140      Southern National Bancorp of Virginia, Inc   143 
 20,043      Southside Bancshares, Inc   700 
 13,968      Southwest Bancorp, Inc   357 
 26,403      State Bank & Trust Co   716 
 94,618      Sterling Bancorp/DE   2,200 
 16,305      Stock Yards Bancorp, Inc   634 
 9,949      Stonegate Bank   459 
 6,101      Summit Financial Group, Inc   134 
 8,249      Sun Bancorp, Inc   203 
243

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 5,047   *  Sunshine Bancorp, Inc  $108 
 351,264      SunTrust Banks, Inc   19,924 
 38,070   *  SVB Financial Group   6,692 
 89,743      Synovus Financial Corp   3,970 
 116,646      TCF Financial Corp   1,859 
 5,870      Territorial Bancorp, Inc   183 
 35,836   *  Texas Capital Bancshares, Inc   2,774 
 40,993      TFS Financial Corp   634 
 35,393   *  The Bancorp, Inc   268 
 4,645      Timberland Bancorp, Inc   117 
 10,641      Tompkins Trustco, Inc   838 
 41,087      TowneBank   1,265 
 15,762      Trico Bancshares   554 
 16,178   *  Tristate Capital Holdings, Inc   408 
 10,668   *  Triumph Bancorp, Inc   262 
 71,043      Trustco Bank Corp NY   551 
 49,168      Trustmark Corp   1,581 
 5,127   e  Two River Bancorp   95 
 32,550      UMB Financial Corp   2,437 
 161,706      Umpqua Holdings Corp   2,969 
 31,837      Union Bankshares Corp   1,079 
 2,885   e  Union Bankshares, Inc   137 
 72,013      United Bankshares, Inc   2,823 
 51,942      United Community Banks, Inc   1,444 
 34,307      United Community Financial Corp   285 
 36,948      United Financial Bancorp, Inc (New)   617 
 9,461   *  United Security Bancshares   87 
 5,346      Unity Bancorp, Inc   92 
 19,117      Univest Corp of Pennsylvania   573 
 1,151,249      US Bancorp   59,773 
 184,651      Valley National Bancorp   2,181 
 10,468   *  Veritex Holdings, Inc   276 
 19,235   *  Walker & Dunlop, Inc   939 
 64,862      Washington Federal, Inc   2,153 
 10,818      Washington Trust Bancorp, Inc   558 
 5,982      WashingtonFirst Bankshares, Inc   207 
 19,189      Waterstone Financial, Inc   362 
 67,195      Webster Financial Corp   3,509 
 3,267,750      Wells Fargo & Co   181,066 
 30,103      WesBanco, Inc   1,190 
 11,970      West Bancorporation, Inc   283 
 18,981   e  Westamerica Bancorporation   1,064 
 70,578   *  Western Alliance Bancorp   3,472 
 19,137      Western New England Bancorp, Inc   194 
 38,890      Wintrust Financial Corp   2,973 
 144,782   *  WMIH Corp   181 
 21,617      WSFS Financial Corp   980 
 3,104   *  Xenith Bankshares, Inc   96 
 145,397      Zions Bancorporation   6,384 
        TOTAL BANKS   1,254,212 
244

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
CAPITAL GOODS - 7.7%     
 421,775      3M Co  $87,809 
 104,391      A.O. Smith Corp   5,880 
 29,877      Aaon, Inc   1,101 
 23,226      AAR Corp   807 
 43,959      Actuant Corp (Class A)   1,081 
 31,787      Acuity Brands, Inc   6,462 
 24,758      Advanced Drainage Systems, Inc   498 
 110,795   *  Aecom Technology Corp   3,582 
 24,436   *  Aegion Corp   535 
 49,582   *  Aerojet Rocketdyne Holdings, Inc   1,031 
 14,335   *  Aerovironment, Inc   548 
 48,271      AGCO Corp   3,253 
 69,836      Air Lease Corp   2,609 
 34,921      Aircastle Ltd   760 
 6,904      Alamo Group, Inc   627 
 21,082      Albany International Corp (Class A)   1,126 
 69,239      Allegion plc   5,617 
 4,493      Allied Motion Technologies, Inc   122 
 96,491      Allison Transmission Holdings, Inc   3,619 
 20,276      Altra Holdings, Inc   807 
 13,776   *  Ameresco, Inc   106 
 5,806   e  American Railcar Industries, Inc   222 
 10,171   *  American Woodmark Corp   972 
 164,940      Ametek, Inc   9,990 
 20,270      Apogee Enterprises, Inc   1,152 
 27,154      Applied Industrial Technologies, Inc   1,603 
 283,755      Arconic, Inc   6,427 
 10,471      Argan, Inc   628 
 17,658   *  Armstrong Flooring, Inc   317 
 31,329   *  Armstrong World Industries, Inc   1,441 
 15,250      Astec Industries, Inc   847 
 15,755   *  Astronics Corp   480 
 23,836   *  Atkore International Group, Inc   537 
 38,585   *,e  Axon Enterprise, Inc   970 
 19,364      AZZ, Inc   1,081 
 33,400   *  Babcock & Wilcox Enterprises, Inc   393 
 36,264      Barnes Group, Inc   2,123 
 43,906   *  Beacon Roofing Supply, Inc   2,151 
 3,967   *,e  Blue Bird Corp   67 
 47,040   *  BMC Stock Holdings, Inc   1,028 
 413,667      Boeing Co   81,803 
 30,438      Briggs & Stratton Corp   734 
 67,070   *  Builders FirstSource, Inc   1,028 
 68,065      BWX Technologies, Inc   3,318 
 17,437   *  Caesarstone Sdot-Yam Ltd   611 
 12,460   *  CAI International, Inc   294 
 45,574      Carlisle Cos, Inc   4,348 
 412,656      Caterpillar, Inc   44,344 
 22,344   *  Chart Industries, Inc   776 
 72,289   e  Chicago Bridge & Iron Co NV   1,426 
 12,045      CIRCOR International, Inc   715 
 64,286   *  Colfax Corp   2,531 
 14,727      Columbus McKinnon Corp   374 
245

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 27,143      Comfort Systems USA, Inc  $1,007 
 18,016   *  Commercial Vehicle Group, Inc   152 
 28,296   *  Continental Building Products Inc   659 
 35,538      Crane Co   2,821 
 10,574   *  CSW Industrials, Inc   409 
 18,660      Cubic Corp   864 
 115,440      Cummins, Inc   18,727 
 32,229      Curtiss-Wright Corp   2,958 
 230,933      Deere & Co   28,541 
 44,391   *  DigitalGlobe, Inc   1,478 
 9,586      DMC Global, Inc   126 
 95,802      Donaldson Co, Inc   4,363 
 16,771      Douglas Dynamics, Inc   552 
 112,391      Dover Corp   9,016 
 8,048   *  Ducommun, Inc   254 
 11,117   *  DXP Enterprises, Inc   384 
 22,099   *,e  Dycom Industries, Inc   1,978 
 3,733      Eastern Co   112 
 324,638      Eaton Corp   25,267 
 42,506      EMCOR Group, Inc   2,779 
 467,155      Emerson Electric Co   27,852 
 15,305      Encore Wire Corp   654 
 11,608   *,e  Energous Corp   189 
 24,905   *,e  Energy Recovery, Inc   206 
 31,570      EnerSys   2,287 
 12,394   *  Engility Holdings, Inc   352 
 15,803      EnPro Industries, Inc   1,128 
 2,576   e  EnviroStar, Inc   70 
 86,586      Equifax, Inc   11,899 
 18,556      ESCO Technologies, Inc   1,107 
 18,922   *  Esterline Technologies Corp   1,794 
 209,833      Fastenal Co   9,134 
 42,557      Federal Signal Corp   739 
 94,563      Flowserve Corp   4,391 
 101,648      Fluor Corp   4,653 
 222,913      Fortive Corp   14,122 
 111,518      Fortune Brands Home & Security, Inc   7,275 
 9,256   *  Foundation Building Materials, Inc   119 
 34,098      Franklin Electric Co, Inc   1,412 
 9,868      Freightcar America, Inc   172 
 30,022   *  Gardner Denver Holdings, Inc   649 
 28,224   e  GATX Corp   1,814 
 4,980   *  Gencor Industries, Inc   81 
 44,627   *  Generac Holdings, Inc   1,612 
 37,226      General Cable Corp   609 
 188,798      General Dynamics Corp   37,401 
 6,323,765      General Electric Co   170,805 
 22,869   *  Gibraltar Industries, Inc   815 
 16,574      Global Brass & Copper Holdings, Inc   506 
 17,148   *  GMS, Inc   482 
 14,132      Gorman-Rupp Co   360 
 39,933      Graco, Inc   4,364 
246

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 7,763      Graham Corp  $153 
 29,395      Granite Construction, Inc   1,418 
 44,924   *  Great Lakes Dredge & Dock Corp   193 
 19,838   e  Greenbrier Cos, Inc   917 
 20,793      Griffon Corp   456 
 23,777      H&E Equipment Services, Inc   485 
 8,975      Hardinge, Inc   111 
 59,172   *  Harsco Corp   953 
 26,381   *  HC2 Holdings, Inc   155 
 145,889   *  HD Supply Holdings, Inc   4,469 
 18,097      HEICO Corp   1,300 
 34,908      HEICO Corp (Class A)   2,166 
 17,889   *  Herc Holdings, Inc   703 
 65,563      Hexcel Corp   3,461 
 44,280      Hillenbrand, Inc   1,599 
 553,846      Honeywell International, Inc   73,822 
 39,894      Hubbell, Inc   4,515 
 32,812      Huntington Ingalls   6,108 
 4,796      Hurco Cos, Inc   167 
 16,053   *  Huttig Building Products, Inc   113 
 7,224      Hyster-Yale Materials Handling, Inc   507 
 55,241      IDEX Corp   6,243 
 5,334   *  IES Holdings, Inc   97 
 221,203      Illinois Tool Works, Inc   31,687 
 185,854      Ingersoll-Rand plc   16,985 
 13,472      Insteel Industries, Inc   444 
 62,449      ITT, Inc   2,509 
 87,075      Jacobs Engineering Group, Inc   4,736 
 15,238   *  JELD-WEN Holding, Inc   495 
 22,550      John Bean Technologies Corp   2,210 
 679,520      Johnson Controls International plc   29,464 
 8,084      Kadant, Inc   608 
 19,992      Kaman Corp   997 
 104,383      KBR, Inc   1,589 
 56,290      Kennametal, Inc   2,106 
 35,741   *,e  KEYW Holding Corp, The   334 
 37,311   *  KLX, Inc   1,866 
 50,983   *  Kratos Defense & Security Solutions, Inc   605 
 56,128      L3 Technologies, Inc   9,378 
 4,456   *  Lawson Products, Inc   99 
 13,681   *,e  Layne Christensen Co   120 
 5,677   *  LB Foster Co (Class A)   122 
 28,023      Lennox International, Inc   5,146 
 42,666      Lincoln Electric Holdings, Inc   3,929 
 7,711      Lindsay Corp   688 
 182,238      Lockheed Martin Corp   50,591 
 16,944      LSI Industries, Inc   153 
 12,223   *  Lydall, Inc   632 
 90,522      Manitowoc Co, Inc   544 
 231,722      Masco Corp   8,854 
 21,549   *  Masonite International Corp   1,627 
 48,078   *  Mastec, Inc   2,171 
 33,690   *  Mercury Systems, Inc   1,418 
247

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 60,412   *  Meritor, Inc  $1,003 
 41,045   *  Middleby Corp   4,987 
 31,692   *  Milacron Holdings Corp   557 
 7,280      Miller Industries, Inc   181 
 22,998   *  Moog, Inc (Class A)   1,649 
 64,419   *  MRC Global, Inc   1,064 
 31,901      MSC Industrial Direct Co (Class A)   2,742 
 40,743      Mueller Industries, Inc   1,241 
 114,327      Mueller Water Products, Inc (Class A)   1,335 
 10,993   *  MYR Group, Inc   341 
 3,534   e  National Presto Industries, Inc   390 
 35,673   *  Navistar International Corp   936 
 29,151   *  NCI Building Systems, Inc   487 
 7,962   *  Neff Corp   151 
 18,421   *  Nexeo Solutions, Inc   153 
 19,066      NN, Inc   523 
 41,450      Nordson Corp   5,029 
 117,253      Northrop Grumman Corp   30,100 
 6,891   *  Northwest Pipe Co   112 
 78,206   *  NOW, Inc   1,258 
 5,211   *  NV5 Holdings, Inc   221 
 2,354      Omega Flex, Inc   152 
 41,710      Orbital ATK, Inc   4,103 
 19,593   *  Orion Marine Group, Inc   146 
 53,964      Oshkosh Truck Corp   3,717 
 80,403      Owens Corning, Inc   5,381 
 249,253      PACCAR, Inc   16,461 
 96,075      Parker-Hannifin Corp   15,355 
 11,398   *  Patrick Industries, Inc   830 
 120,354      Pentair plc   8,008 
 36,380   *  PGT, Inc   466 
 159,236   *,e  Plug Power, Inc   325 
 15,949   *  Ply Gem Holdings, Inc   286 
 7,077      Powell Industries, Inc   226 
 1,801      Preformed Line Products Co   84 
 28,783      Primoris Services Corp   718 
 18,284   *  Proto Labs, Inc   1,230 
 25,291      Quanex Building Products Corp   535 
 106,691   *  Quanta Services, Inc   3,512 
 25,955      Raven Industries, Inc   864 
 211,687      Raytheon Co   34,183 
 16,634   *  RBC Bearings, Inc   1,693 
 32,248      Regal-Beloit Corp   2,630 
 8,757      REV Group, Inc   242 
 8,484   *  Revolution Lighting Technologies, Inc   56 
 75,228   *  Rexnord Corp   1,749 
 93,730      Rockwell Automation, Inc   15,181 
 117,337      Rockwell Collins, Inc   12,330 
 72,823      Roper Industries, Inc   16,861 
 4,597   *  Rush Enterprises, Inc   167 
 21,510   *  Rush Enterprises, Inc (Class A)   800 
 122,796   *  Sensata Technologies Holding BV   5,246 
248

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 29,530      Simpson Manufacturing Co, Inc  $1,291 
 24,415   *  SiteOne Landscape Supply, Inc   1,271 
 41,780      Snap-On, Inc   6,601 
 7,959   *  Sparton Corp   175 
 87,799      Spirit Aerosystems Holdings, Inc (Class A)   5,087 
 30,406   *  SPX Corp   765 
 29,148   *  SPX FLOW, Inc   1,075 
 9,405      Standex International Corp   853 
 110,365      Stanley Works   15,532 
 18,886   *  Sterling Construction Co, Inc   247 
 16,194      Sun Hydraulics Corp   691 
 60,603   *,e  Sunrun, Inc   431 
 8,050      Supreme Industries, Inc   132 
 25,120   *  Teledyne Technologies, Inc   3,207 
 12,744      Tennant Co   940 
 65,568      Terex Corp   2,459 
 18,852      Textainer Group Holdings Ltd   273 
 194,331      Textron, Inc   9,153 
 7,401   *,e  The ExOne Company   85 
 24,419   *  Thermon Group Holdings   468 
 50,165      Timken Co   2,320 
 33,155      Titan International, Inc   398 
 11,613   *  Titan Machinery, Inc   209 
 76,589      Toro Co   5,307 
 7,431   *  TPI Composites, Inc   137 
 35,271      TransDigm Group, Inc   9,483 
 21,659   *  Trex Co, Inc   1,465 
 34,233   *  Trimas Corp   714 
 108,898      Trinity Industries, Inc   3,052 
 30,588      Triton International Ltd   1,023 
 36,497      Triumph Group, Inc   1,153 
 27,269   *  Tutor Perini Corp   784 
 6,567   *  Twin Disc, Inc   106 
 61,292   *  United Rentals, Inc   6,908 
 542,722      United Technologies Corp   66,272 
 74,230   *  Univar, Inc   2,168 
 14,766      Universal Forest Products, Inc   1,289 
 64,802   *  USG Corp   1,881 
 15,977      Valmont Industries, Inc   2,390 
 7,860   *  Vectrus, Inc   254 
 7,828   *  Veritiv Corp   352 
 12,845   *  Vicor Corp   230 
 38,251      W.W. Grainger, Inc   6,905 
 42,603      Wabash National Corp   936 
 36,818   *  WABCO Holdings, Inc   4,695 
 62,217   e  Wabtec Corp   5,693 
 21,686      Watsco, Inc   3,344 
 20,422      Watts Water Technologies, Inc (Class A)   1,291 
 93,437   *  Welbilt, Inc   1,761 
 39,330   *  Wesco Aircraft Holdings, Inc   427 
 34,751   *  WESCO International, Inc   1,991 
 3,392   *  Willis Lease Finance Corp   91 
 38,996      Woodward Governor Co   2,635 
249

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 130,717      Xylem, Inc  $7,246 
        TOTAL CAPITAL GOODS   1,410,072 
              
COMMERCIAL & PROFESSIONAL SERVICES - 0.9%     
 40,285      ABM Industries, Inc   1,673 
 37,820   *  Acacia Research (Acacia Technologies)   155 
 77,675   *  ACCO Brands Corp   905 
 17,161   *  Advanced Disposal Services, Inc   390 
 29,069   *  Advisory Board Co   1,497 
 11,928   *,e  Aqua Metals, Inc   150 
 26,021   *  ARC Document Solutions, Inc   108 
 5,145      Barrett Business Services, Inc   295 
 4,266      BG Staffing, Inc   74 
 33,472      Brady Corp (Class A)   1,135 
 33,001      Brink’s Co   2,211 
 29,675   *  Casella Waste Systems, Inc (Class A)   487 
 35,493   *  CBIZ, Inc   532 
 18,496      Ceco Environmental Corp   170 
 62,444      Cintas Corp   7,871 
 38,542   *  Clean Harbors, Inc   2,152 
 10,504   *,e  Cogint, Inc   53 
 144,025   *  Copart, Inc   4,579 
 84,474   e  Covanta Holding Corp   1,115 
 7,013      CRA International, Inc   255 
 34,722      Deluxe Corp   2,404 
 26,878      Dun & Bradstreet Corp   2,907 
 107,512   *,m  Dyax Corp   119 
 20,052      Ennis, Inc   383 
 28,344      Essendant, Inc   420 
 18,006      Exponent, Inc   1,050 
 7,620   *  Franklin Covey Co   147 
 30,776   *  FTI Consulting, Inc   1,076 
 9,864   *  GP Strategies Corp   260 
 51,852      Healthcare Services Group   2,428 
 14,300      Heidrick & Struggles International, Inc   311 
 8,893   *  Heritage-Crystal Clean, Inc   141 
 43,782      Herman Miller, Inc   1,331 
 25,556   *  Hill International, Inc   133 
 31,637      HNI Corp   1,261 
 26,158   *  Hudson Technologies, Inc   221 
 15,850   *  Huron Consulting Group, Inc   685 
 13,124   *  ICF International, Inc   618 
 284,265   *  IHS Markit Ltd   12,519 
 32,837   *  Innerworkings, Inc   381 
 12,988      Insperity, Inc   922 
 44,581      Interface, Inc   876 
 99,519      KAR Auction Services, Inc   4,177 
 20,372      Kelly Services, Inc (Class A)   457 
 18,302      Kforce, Inc   359 
 25,171      Kimball International, Inc (Class B)   420 
 35,963      Knoll, Inc   721 
 37,013      Korn/Ferry International   1,278 
250

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 23,849      LSC Communications, Inc  $510 
 48,422      Manpower, Inc   5,406 
 22,585      Matthews International Corp (Class A)   1,383 
 17,061      McGrath RentCorp   591 
 80,085   *,m  Media General, Inc   39 
 13,300   *  Mistras Group, Inc   292 
 31,645      Mobile Mini, Inc   945 
 24,011      MSA Safety, Inc   1,949 
 9,774      Multi-Color Corp   798 
 33,798   *  Navigant Consulting, Inc   668 
 259,314      Nielsen NV   10,025 
 4,961   *  NL Industries, Inc   35 
 36,708   *  On Assignment, Inc   1,988 
 6,800   *  Pendrell Corp   49 
 133,127      Pitney Bowes, Inc   2,010 
 21,796      Quad Graphics, Inc   500 
 167,139      Republic Services, Inc   10,652 
 20,546      Resources Connection, Inc   282 
 89,569      Robert Half International, Inc   4,293 
 69,157      Rollins, Inc   2,815 
 31,926   *  RPX Corp   445 
 51,083      RR Donnelley & Sons Co   641 
 12,140   *  SP Plus Corp   371 
 61,807      Steelcase, Inc (Class A)   865 
 60,073   *  Stericycle, Inc   4,585 
 20,907   *  Team, Inc   490 
 41,281      Tetra Tech, Inc   1,889 
 92,358   *  TransUnion   4,000 
 30,336   *  TriNet Group, Inc   993 
 30,958   *  TrueBlue, Inc   820 
 10,976      Unifirst Corp   1,544 
 16,280      US Ecology, Inc   822 
 110,251   *  Verisk Analytics, Inc   9,302 
 15,178      Viad Corp   717 
 5,586      VSE Corp   251 
 26,743   *  WageWorks, Inc   1,797 
 321,451      Waste Management, Inc   23,579 
 30,841      West Corp   719 
 5,398   *  Willdan Group, Inc   165 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES   163,037 
              
CONSUMER DURABLES & APPAREL - 1.4%     
 15,286      Acushnet Holdings Corp   303 
 39,523   *,e  American Outdoor Brands Corp   876 
 7,681      Bassett Furniture Industries, Inc   291 
 21,459   *  Beazer Homes USA, Inc   294 
 14,228   *  Black Diamond, Inc   95 
 64,612      Brunswick Corp   4,053 
 50,955      CalAtlantic Group, Inc   1,801 
 69,841      Callaway Golf Co   893 
 34,791      Carter’s, Inc   3,095 
 6,102   *  Cavco Industries, Inc   791 
 12,481   *  Century Communities, Inc   310 
251

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 203,320      Coach, Inc  $9,625 
 21,051      Columbia Sportswear Co   1,222 
 56,978   *  CROCS, Inc   439 
 6,879      CSS Industries, Inc   180 
 6,895      Culp, Inc   224 
 22,861   *  Deckers Outdoor Corp   1,560 
 5,204   *  Delta Apparel, Inc   115 
 248,158      DR Horton, Inc   8,579 
 7,865      Escalade, Inc   103 
 18,783      Ethan Allen Interiors, Inc   607 
 5,531      Flexsteel Industries, Inc   299 
 31,215   *,e  Fossil Group, Inc   323 
 86,235      Garmin Ltd   4,401 
 30,360   *  G-III Apparel Group Ltd   757 
 74,136   *,e  GoPro, Inc   603 
 16,535   *  Green Brick Partners, Inc   189 
 263,507   e  Hanesbrands, Inc   6,103 
 82,076      Hasbro, Inc   9,152 
 19,658   *  Helen of Troy Ltd   1,850 
 7,913      Hooker Furniture Corp   326 
 93,175   *  Hovnanian Enterprises, Inc (Class A)   261 
 34,721   *  Iconix Brand Group, Inc   240 
 15,693   *  Installed Building Products Inc   831 
 19,406   *  iRobot Corp   1,633 
 3,583      Johnson Outdoors, Inc   173 
 94,263   *  Kate Spade & Co   1,743 
 60,650   e  KB Home   1,454 
 36,137      La-Z-Boy, Inc   1,174 
 96,430      Leggett & Platt, Inc   5,065 
 7,350      Lennar Corp (B Shares)   331 
 144,066      Lennar Corp (Class A)   7,682 
 12,635   *,e  LGI Homes, Inc   508 
 16,013      Libbey, Inc   129 
 7,210      Lifetime Brands, Inc   131 
 70,513   *  Lululemon Athletica, Inc   4,208 
 16,714   *  M/I Homes, Inc   477 
 13,092   *  Malibu Boats Inc   339 
 8,407      Marine Products Corp   131 
 246,470      Mattel, Inc   5,306 
 13,690      MCBC Holdings, Inc   268 
 30,607      MDC Holdings, Inc   1,081 
 28,574   *  Meritage Homes Corp   1,206 
 111,591   *  Michael Kors Holdings Ltd   4,045 
 45,010   *  Mohawk Industries, Inc   10,878 
 11,320      Movado Group, Inc   286 
 3,180      Nacco Industries, Inc (Class A)   225 
 22,756   *  Nautilus, Inc   436 
 6,504   *  New Home Co Inc   75 
 347,667      Newell Rubbermaid, Inc   18,642 
 961,132      Nike, Inc (Class B)   56,707 
 2,410   *  NVR, Inc   5,810 
 11,750      Oxford Industries, Inc   734 
252

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 8,860   *  Perry Ellis International, Inc  $172 
 56,345      Phillips-Van Heusen Corp   6,451 
 42,713   e  Polaris Industries, Inc   3,939 
 28,935      Pool Corp   3,402 
 211,341      Pulte Homes, Inc   5,184 
 40,781      Ralph Lauren Corp   3,010 
 27,136   *  Sequential Brands Group, Inc   108 
 94,686   *  Skechers U.S.A., Inc (Class A)   2,793 
 42,786   *  Steven Madden Ltd   1,709 
 12,383   e  Sturm Ruger & Co, Inc   770 
 5,163      Superior Uniform Group, Inc   115 
 43,734   *  Taylor Morrison Home Corp   1,050 
 33,646   *,e  Tempur Sealy International, Inc   1,796 
 110,068      Toll Brothers, Inc   4,349 
 26,487   *  TopBuild Corp   1,406 
 109,987   *  TRI Pointe Homes, Inc   1,451 
 36,963      Tupperware Corp   2,596 
 4,894   *  UCP, Inc (Class A)   54 
 135,169   *,e  Under Armour, Inc   2,725 
 134,677   *,e  Under Armour, Inc (Class A)   2,931 
 10,905   *  Unifi, Inc   336 
 10,485   *  Universal Electronics, Inc   701 
 16,444   *  Vera Bradley, Inc   161 
 240,753      VF Corp   13,867 
 41,550   *  Vista Outdoor, Inc   935 
 5,214      Weyco Group, Inc   145 
 52,545      Whirlpool Corp   10,069 
 17,713   *  William Lyon Homes, Inc   428 
 67,978      Wolverine World Wide, Inc   1,904 
 21,026   *  Zagg, Inc   182 
        TOTAL CONSUMER DURABLES & APPAREL   266,407 
              
CONSUMER SERVICES - 2.3%     
 44,790   *  Adtalem Global Education, Inc   1,700 
 12,233   *  American Public Education, Inc   289 
 176,449      ARAMARK Holdings Corp   7,231 
 10,215   *  Ascent Media Corp (Series A)   157 
 64,026   *  Belmond Ltd.   852 
 15,173   *  BJ’s Restaurants, Inc   565 
 71,417      Bloomin’ Brands, Inc   1,516 
 14,693      Bob Evans Farms, Inc   1,055 
 12,424   *  Bojangles’, Inc   202 
 61,116      Boyd Gaming Corp   1,516 
 13,548   *  Bridgepoint Education, Inc   200 
 36,213   *  Bright Horizons Family Solutions   2,796 
 34,614      Brinker International, Inc   1,319 
 11,807   *  Buffalo Wild Wings, Inc   1,496 
 34,686   *  Caesars Acquisition Co   661 
 38,423   *,e  Caesars Entertainment Corp   461 
 8,227   *  Cambium Learning Group, Inc   42 
 8,534      Capella Education Co   731 
 46,334   *  Career Education Corp   445 
 294,970      Carnival Corp   19,341 
253

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 11,838      Carriage Services, Inc  $319 
 27,792   *  Carrols Restaurant Group, Inc   340 
 16,727   *  Century Casinos, Inc   123 
 31,824      Cheesecake Factory   1,601 
 60,816   *,e  Chegg, Inc   747 
 18,378   *  Chipotle Mexican Grill, Inc (Class A)   7,647 
 24,500      Choice Hotels International, Inc   1,574 
 9,566      Churchill Downs, Inc   1,753 
 12,474   *  Chuy’s Holdings, Inc   292 
 47,371      ClubCorp Holdings, Inc   621 
 5,623      Collectors Universe   140 
 14,095   e  Cracker Barrel Old Country Store, Inc   2,357 
 89,127      Darden Restaurants, Inc   8,061 
 30,312   *  Dave & Buster’s Entertainment, Inc   2,016 
 17,725   *  Del Frisco’s Restaurant Group, Inc   285 
 23,487   *  Del Taco Restaurants, Inc   323 
 49,528   *  Denny’s Corp   583 
 12,802   e  DineEquity, Inc   564 
 34,825      Domino’s Pizza, Inc   7,367 
 43,999   *  Drive Shack, Inc   139 
 66,960      Dunkin Brands Group, Inc   3,691 
 14,501   *,e  El Pollo Loco Holdings, Inc   201 
 33,208   *  Eldorado Resorts, Inc   664 
 2,242   *  Empire Resorts, Inc   54 
 117,907      Extended Stay America, Inc   2,283 
 20,469   *  Fiesta Restaurant Group, Inc   423 
 6,424   *  Fogo De Chao, Inc   89 
 7,389      Golden Entertainment, Inc   153 
 3,202      Graham Holdings Co   1,920 
 33,683   *  Grand Canyon Education, Inc   2,641 
 149,953      H&R Block, Inc   4,635 
 14,706   *  Habit Restaurants, Inc   232 
 42,750   *  Hilton Grand Vacations, Inc   1,542 
 139,725      Hilton Worldwide Holdings, Inc   8,642 
 76,812   *  Houghton Mifflin Harcourt Co   945 
 24,217   *  Hyatt Hotels Corp   1,361 
 76,966      ILG, Inc   2,116 
 76,027      International Game Technology plc   1,391 
 18,045      International Speedway Corp (Class A)   678 
 9,433   *  Intrawest Resorts Holdings Inc   224 
 10,324   *  J Alexander’s Holdings, Inc   127 
 22,834      Jack in the Box, Inc   2,249 
 26,055   *  K12, Inc   467 
 61,127   *  La Quinta Holdings, Inc   903 
 262,444      Las Vegas Sands Corp   16,768 
 26,148   *  Laureate Education, Inc   458 
 3,365      Liberty Tax, Inc   44 
 10,890   *  Lindblad Expeditions Holdings, Inc   114 
 14,211      Marcus Corp   429 
 229,888      Marriott International, Inc (Class A)   23,060 
 15,948      Marriott Vacations Worldwide Corp   1,878 
 593,615      McDonald’s Corp   90,918 
254

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 367,507      MGM Resorts International  $11,499 
 7,140   *  Monarch Casino & Resort, Inc   216 
 2,378   *  Nathan’s Famous, Inc   150 
 8,091   *,e  Noodles & Co   32 
 116,038   *  Norwegian Cruise Line Holdings Ltd   6,300 
 15,411   *  Panera Bread Co (Class A)   4,849 
 20,085      Papa John’s International, Inc   1,441 
 60,160   *  Penn National Gaming, Inc   1,287 
 38,765   *  Pinnacle Entertainment, Inc   766 
 60,595      Planet Fitness, Inc   1,414 
 16,455   *  Potbelly Corp   189 
 6,547   e  RCI Hospitality Holdings, Inc   156 
 11,433   *  Red Lion Hotels Corp   84 
 9,211   *  Red Robin Gourmet Burgers, Inc   601 
 48,687      Red Rock Resorts, Inc   1,147 
 27,109   *  Regis Corp   278 
 124,450      Royal Caribbean Cruises Ltd   13,594 
 46,223   *  Ruby Tuesday, Inc   93 
 21,790      Ruth’s Chris Steak House, Inc   474 
 37,197   *  Scientific Games Corp (Class A)   971 
 51,334      SeaWorld Entertainment, Inc   835 
 132,072      Service Corp International   4,418 
 97,685   *  ServiceMaster Global Holdings, Inc   3,828 
 15,620   *,e  Shake Shack, Inc   545 
 51,787      Six Flags Entertainment Corp   3,087 
 29,466      Sonic Corp   781 
 27,603   *  Sotheby’s (Class A)   1,481 
 9,984      Speedway Motorsports, Inc   182 
 1,026,245      Starbucks Corp   59,840 
 769   *  Steak N Shake Co   307 
 7,659      Strayer Education, Inc   714 
 48,860      Texas Roadhouse, Inc (Class A)   2,489 
 28,716      Vail Resorts, Inc   5,824 
 20,333   *,e  Weight Watchers International, Inc   680 
 134,006      Wendy’s   2,078 
 21,048      Wingstop, Inc   650 
 74,098      Wyndham Worldwide Corp   7,440 
 58,012      Wynn Resorts Ltd   7,781 
 267,394   *  Yum China Holdings, Inc   10,543 
 251,556      Yum! Brands, Inc   18,555 
 14,098   *,e  Zoe’s Kitchen, Inc   168 
        TOTAL CONSUMER SERVICES   428,494 
              
DIVERSIFIED FINANCIALS - 4.0%     
 40,771      Affiliated Managers Group, Inc   6,762 
 21,134      AG Mortgage Investment Trust   387 
 256,339      AGNC Investment Corp   5,457 
 330,053      Ally Financial, Inc   6,898 
 539,655      American Express Co   45,461 
 110,051      Ameriprise Financial, Inc   14,008 
 728,529      Annaly Capital Management, Inc   8,779 
 70,479      Anworth Mortgage Asset Corp   424 
 61,155      Apollo Commercial Real Estate Finance, Inc   1,134 
255

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 22,112      Ares Commercial Real Estate Corp  $289 
 16,506   e  Arlington Asset Investment Corp (Class A)   226 
 26,163      ARMOUR Residential REIT, Inc   654 
 32,135      Artisan Partners Asset Management, Inc   987 
 4,316      Associated Capital Group, Inc   147 
 10,240      B. Riley Financial, Inc   190 
 732,911      Bank of New York Mellon Corp   37,393 
 166,153      BGC Partners, Inc (Class A)   2,100 
 90,699      BlackRock, Inc   38,312 
 349,590      Capital One Financial Corp   28,883 
 71,072      Capstead Mortgage Corp   741 
 80,051      CBOE Holdings, Inc   7,317 
 860,502      Charles Schwab Corp   36,967 
 7,318      Cherry Hill Mortgage Investment Corp   135 
 132,524      Chimera Investment Corp   2,469 
 246,332      CME Group, Inc   30,851 
 15,440      Cohen & Steers, Inc   626 
 18,127   *  Cowen Group, Inc   295 
 8,085   *,e  Credit Acceptance Corp   2,079 
 112,419      CYS Investments, Inc   945 
 2,179      Diamond Hill Investment Group, Inc   434 
 275,401      Discover Financial Services   17,127 
 19,156   *  Donnelley Financial Solutions, Inc   440 
 33,323      Dynex Capital, Inc   237 
 200,136   *  E*TRADE Financial Corp   7,611 
 81,116      Eaton Vance Corp   3,838 
 11,344   *  Elevate Credit, Inc   90 
 4,816      Ellington Residential Mortgage REIT   71 
 17,368   *,e  Encore Capital Group, Inc   697 
 23,911   *  Enova International, Inc   355 
 29,096      Evercore Partners, Inc (Class A)   2,051 
 38,445   *  Ezcorp, Inc (Class A)   296 
 28,010      Factset Research Systems, Inc   4,655 
 68,886      Federated Investors, Inc (Class B)   1,946 
 42,264      Financial Engines, Inc   1,547 
 34,393      FirstCash, Inc   2,005 
 48,331   *  FNFV Group   764 
 245,687      Franklin Resources, Inc   11,004 
 23,847      Gain Capital Holdings, Inc   149 
 4,049      GAMCO Investors, Inc (Class A)   120 
 266,953      Goldman Sachs Group, Inc   59,237 
 8,938      Great Ajax Corp   125 
 33,057   *  Green Dot Corp   1,274 
 19,893      Greenhill & Co, Inc   400 
 10,099      Hamilton Lane, Inc   222 
 35,286      Hannon Armstrong Sustainable Infrastructure Capital, Inc   807 
 15,460      Houlihan Lokey, Inc   540 
 47,028      Interactive Brokers Group, Inc (Class A)   1,760 
 424,999      IntercontinentalExchange Group, Inc   28,016 
 11,369   *  INTL FCStone, Inc   429 
 291,509      Invesco Ltd   10,258 
 81,478      Invesco Mortgage Capital, Inc   1,361 
256

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 24,759      Investment Technology Group, Inc  $526 
 39,581   e  iShares Russell 2000 Index Fund   5,578 
 32,261   *  KCG Holdings, Inc   643 
 7,773      KKR Real Estate Finance Trust, Inc   167 
 49,496      Ladder Capital Corp   664 
 73,441   *  Ladenburg Thalmann Financial Services, Inc   179 
 87,189      Lazard Ltd (Class A)   4,039 
 62,850      Legg Mason, Inc   2,398 
 231,261   *  LendingClub Corp   1,274 
 234,584      Leucadia National Corp   6,137 
 63,483      LPL Financial Holdings, Inc   2,695 
 26,806      MarketAxess Holdings, Inc   5,391 
 6,533      Marlin Business Services Corp   164 
 5,352      Medley Management, Inc   35 
 280,832      MFA Mortgage Investments, Inc   2,356 
 18,185      Moelis & Co   706 
 121,624      Moody’s Corp   14,799 
 960,058      Morgan Stanley   42,780 
 13,834      Morningstar, Inc   1,084 
 64,418      MSCI, Inc (Class A)   6,634 
 34,047      MTGE Investment Corp   640 
 81,850      NASDAQ OMX Group, Inc   5,851 
 205,423      Navient Corp   3,420 
 14,990      Nelnet, Inc (Class A)   705 
 216,341      New Residential Investment Corp   3,366 
 75,449      New York Mortgage Trust, Inc   469 
 22,218      NewStar Financial, Inc   233 
 151,272      Northern Trust Corp   14,705 
 40,173      OM Asset Management plc   597 
 36,046   *  On Deck Capital, Inc   168 
 38,494   *  OneMain Holdings, Inc   947 
 7,363      Oppenheimer Holdings, Inc   121 
 23,694      Orchid Island Capital, Inc   234 
 6,966      Owens Realty Mortgage, Inc   118 
 47,765      PennyMac Mortgage Investment Trust   874 
 17,372   *  Pico Holdings, Inc   304 
 10,272      Piper Jaffray Cos   616 
 13,025      PJT Partners, Inc   524 
 33,753   *  PRA Group, Inc   1,279 
 9,591      Pzena Investment Management, Inc (Class A)   97 
 93,238      Raymond James Financial, Inc   7,480 
 56,629      Redwood Trust, Inc   965 
 8,577   *  Regional Management Corp   203 
 22,197      Resource Capital Corp   226 
 187,380      S&P Global, Inc   27,356 
 16,951   *  Safeguard Scientifics, Inc   202 
 104,294   *  Santander Consumer USA Holdings, Inc   1,331 
 97,142      SEI Investments Co   5,224 
 5,338      Silvercrest Asset Management Group, Inc   72 
 313,613   *  SLM Corp   3,607 
 17,094      SPDR S&P MidCap 400 ETF Trust   5,429 
 209,827      SPDR Trust Series 1   50,736 
 178,139      Starwood Property Trust, Inc   3,989 
257

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 272,171      State Street Corp  $24,422 
 47,909   *  Stifel Financial Corp   2,203 
 590,397      Synchrony Financial   17,606 
 170,927      T Rowe Price Group, Inc   12,684 
 184,303      TD Ameritrade Holding Corp   7,923 
 22,143      Tiptree Financial, Inc   156 
 251,161      Two Harbors Investment Corp   2,489 
 18,355   e  Virtu Financial, Inc   324 
 4,800      Virtus Investment Partners, Inc   533 
 135,000      Voya Financial, Inc   4,980 
 58,496   e  Waddell & Reed Financial, Inc (Class A)   1,104 
 28,538      Western Asset Mortgage Capital Corp   294 
 5,409      Westwood Holdings Group, Inc   307 
 84,317   e  WisdomTree Investments, Inc   858 
 4,248   *  World Acceptance Corp   318 
 10,497      ZAIS Financial Corp   156 
        TOTAL DIVERSIFIED FINANCIALS   757,476 
              
ENERGY - 5.6%     
 109,725   *  Abraxas Petroleum Corp   178 
 1,730      Adams Resources & Energy, Inc   71 
 23,232      Alon USA Energy, Inc   309 
 408,497      Anadarko Petroleum Corp   18,521 
 167,046   *  Antero Resources Corp   3,610 
 277,029      Apache Corp   13,278 
 28,129   *  Approach Resources, Inc   95 
 15,667   e  Arch Coal, Inc   1,070 
 51,391      Archrock, Inc   586 
 20,832      Ardmore Shipping Corp   170 
 54,456   *  Atwood Oceanics, Inc   444 
 309,812      Baker Hughes, Inc   16,888 
 12,272   *  Basic Energy Services, Inc   306 
 55,618   *  Bill Barrett Corp   171 
 14,562   *  Bonanza Creek Energy, Inc   462 
 26,221   e  Bristow Group, Inc   201 
 33,520   *  C&J Energy Services, Inc   1,149 
 334,388      Cabot Oil & Gas Corp   8,386 
 31,434   *,e  California Resources Corp   269 
 145,414   *  Callon Petroleum Co   1,543 
 15,028   *,e  CARBO Ceramics, Inc   103 
 45,074   *  Carrizo Oil & Gas, Inc   785 
 80,346   *,e  Centennial Resource Development, Inc   1,271 
 148,068   *  Cheniere Energy, Inc   7,212 
 657,307   *,e  Chesapeake Energy Corp   3,267 
 1,374,789      Chevron Corp   143,432 
 68,278      Cimarex Energy Co   6,419 
 96,211   *  Clean Energy Fuels Corp   244 
 54,879   *  Cloud Peak Energy, Inc   194 
 107,024   *  Concho Resources, Inc   13,007 
 901,840      ConocoPhillips   39,645 
 165,329   *  Consol Energy, Inc   2,470 
 12,994   *  Contango Oil & Gas Co   86 
258

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 64,271   *  Continental Resources, Inc  $2,078 
 11,149   e  CVR Energy, Inc   243 
 44,749      Delek US Holdings, Inc   1,183 
 280,409   *  Denbury Resources, Inc   429 
 381,647      Devon Energy Corp   12,201 
 55,111      DHT Holdings, Inc   229 
 47,743   *,e  Diamond Offshore Drilling, Inc   517 
 71,274   *  Diamondback Energy, Inc   6,330 
 17,982   *  Dorian LPG Ltd   147 
 27,635   *  Dril-Quip, Inc   1,349 
 7,121   *  Earthstone Energy, Inc   71 
 61,180   *  Eclipse Resources Corp   175 
 70,571   *  Energen Corp   3,484 
 21,016   *  Energy XXI Gulf Coast, Inc   390 
 214,858      Ensco plc   1,109 
 419,312      EOG Resources, Inc   37,956 
 28,367   *,e  EP Energy Corp   104 
 125,845      EQT Corp   7,373 
 14,364   *  Era Group, Inc   136 
 17,517      Evolution Petroleum Corp   142 
 23,313   *  Exterran Corp   622 
 87,596   *,e  Extraction Oil & Gas, Inc   1,178 
 3,083,894   d  Exxon Mobil Corp   248,963 
 110,222   *,e  Fairmount Santrol Holdings, Inc   430 
 49,153   *  Forum Energy Technologies, Inc   767 
 36,662   e  Frank’s International NV   304 
 52,498   e  Frontline Ltd   301 
 32,033      GasLog Ltd   488 
 134,027   *  Gastar Exploration, Inc   124 
 32,816   *,e  Gener8 Maritime, Inc   187 
 9,836   *  Geospace Technologies Corp   136 
 69,477      Golar LNG Ltd   1,546 
 26,945      Green Plains Renewable Energy, Inc   554 
 10,488      Gulf Island Fabrication, Inc   122 
 117,648   *  Gulfport Energy Corp   1,735 
 42,984   *  Halcon Resources Corp   195 
 10,340      Hallador Energy Co   80 
 629,282      Halliburton Co   26,877 
 100,808   *  Helix Energy Solutions Group, Inc   569 
 76,890   e  Helmerich & Payne, Inc   4,178 
 206,705      Hess Corp   9,068 
 127,243      HollyFrontier Corp   3,495 
 23,510   *  Independence Contract Drilling, Inc   91 
 20,967   *  International Seaways, Inc   454 
 823   *  Isramco, Inc   94 
 22,747   *  Jagged Peak Energy, Inc   304 
 47,826   *,e  Jones Energy, Inc (Class A)   76 
 22,628   *  Keane Group, Inc   362 
 7,122   *,e  Key Energy Services, Inc   137 
 1,399,507      Kinder Morgan, Inc   26,815 
 139,280   *  Kosmos Energy LLC   893 
 117,588   *  Laredo Petroleum Holdings, Inc   1,237 
 29,366   *  Lilis Energy, Inc   144 
259

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 5,616   *  Mammoth Energy Services, Inc  $104 
 619,564      Marathon Oil Corp   7,342 
 374,027      Marathon Petroleum Corp   19,573 
 64,577   *  Matador Resources Co   1,380 
 19,934   *  Matrix Service Co   186 
 200,712   *  McDermott International, Inc   1,439 
 7,581   *  Midstates Petroleum Co, Inc   96 
 118,404      Murphy Oil Corp   3,035 
 200,603      Nabors Industries Ltd   1,633 
 275,693      National Oilwell Varco, Inc   9,081 
 9,713   *  Natural Gas Services Group, Inc   241 
 61,477      Navios Maritime Acq Corp   90 
 7,613   *  NCS Multistage Holdings, Inc   192 
 144,456   *  Newfield Exploration Co   4,111 
 63,344   *  Newpark Resources, Inc   466 
 177,948   e  Noble Corp plc   644 
 349,693      Noble Energy, Inc   9,896 
 68,002   e  Nordic American Tanker Shipping   431 
 170,623   *  Oasis Petroleum, Inc   1,373 
 555,798      Occidental Petroleum Corp   33,276 
 71,446      Oceaneering International, Inc   1,632 
 38,178   *  Oil States International, Inc   1,037 
 152,242      Oneok, Inc   7,941 
 26,237      Overseas Shipholding Group, Inc   70 
 29,983   *  Pacific Ethanol, Inc   187 
 10,734      Panhandle Oil and Gas, Inc (Class A)   248 
 23,180   *  Par Pacific Holdings, Inc   418 
 96,030   *  Parker Drilling Co   130 
 167,421   *  Parsley Energy, Inc   4,646 
 150,779      Patterson-UTI Energy, Inc   3,044 
 78,916   e  PBF Energy, Inc   1,757 
 47,717   *  PDC Energy, Inc   2,057 
 35,218   *  Peabody Energy Corp   861 
 10,090   *  Penn Virginia Corp   371 
 9,723   *  PHI, Inc   95 
 317,429      Phillips 66   26,248 
 42,944   *  Pioneer Energy Services Corp   88 
 122,880      Pioneer Natural Resources Co   19,609 
 17,508   *  ProPetro Holding Corp   244 
 173,948   *  Questar Market Resources, Inc   1,757 
 165,726      Range Resources Corp   3,840 
 27,182   *  Renewable Energy Group, Inc   352 
 15,559   *,e  Resolute Energy Corp   463 
 4,186   *  Rex American Resources Corp   404 
 122,249   *  Rice Energy, Inc   3,255 
 9,601   *  RigNet, Inc   154 
 32,471   *  Ring Energy, Inc   422 
 83,867   *  Rowan Cos plc   859 
 42,512   e  RPC, Inc   859 
 95,255   *  RSP Permian, Inc   3,074 
 51,327   *,e  Sanchez Energy Corp   368 
 24,071   *  SandRidge Energy, Inc   414 
260

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,011,329      Schlumberger Ltd  $66,586 
 121,758      Scorpio Tankers, Inc   483 
 11,768   *  SEACOR Holdings, Inc   404 
 11,831   *  SEACOR Marine Holdings, Inc   241 
 48,551      SemGroup Corp   1,311 
 45,041   e  Ship Finance International Ltd   613 
 4,694   *  SilverBow Resources, Inc   123 
 80,594      SM Energy Co   1,332 
 12,316   *,e  Smart Sand, Inc   110 
 6,855   *,e  Solaris Oilfield Infrastructure, Inc   79 
 359,770   *  Southwestern Energy Co   2,187 
 143,792   *  SRC Energy, Inc   968 
 13,911   *  Stone Energy Corp   256 
 111,107   *  Superior Energy Services   1,159 
 141,390      Targa Resources Investments, Inc   6,391 
 46,213   e  Teekay Corp   308 
 85,424   e  Teekay Tankers Ltd (Class A)   161 
 39,279   *  Tellurian, Inc   394 
 26,063   *  Tesco Corp   116 
 111,304   b  Tesoro Corp   10,418 
 84,248   *  Tetra Technologies, Inc   235 
 283,324   *  Transocean Ltd (NYSE)   2,332 
 139,784   *  Ultra Petroleum Corp   1,517 
 36,980   *  Unit Corp   693 
 95,169   *,e  Uranium Energy Corp   151 
 58,687      US Silica Holdings Inc   2,083 
 324,865      Valero Energy Corp   21,915 
 68,451   *,e  W&T Offshore, Inc   134 
 643,511   *,e  Weatherford International Ltd   2,490 
 14,035   *  Westmoreland Coal Co   68 
 260,821   *  Whiting Petroleum Corp   1,437 
 13,341   *  WildHorse Resource Development Corp   165 
 33,684   *  Willbros Group, Inc   83 
 601,042      Williams Cos, Inc   18,200 
 49,281      World Fuel Services Corp   1,895 
 284,313   *  WPX Energy, Inc   2,746 
        TOTAL ENERGY   1,025,291 
              
FOOD & STAPLES RETAILING - 1.4%     
 19,849      Andersons, Inc   678 
 28,320      Casey’s General Stores, Inc   3,033 
 14,374   *  Chefs’ Warehouse Holdings, Inc   187 
 740,486      CVS Health Corp   59,580 
 10,217      Ingles Markets, Inc (Class A)   340 
 661,008      Kroger Co   15,415 
 6,410   *  Natural Grocers by Vitamin C   53 
 50,163   *  Performance Food Group Co   1,374 
 16,044      Pricesmart, Inc   1,405 
 763,555   *  Rite Aid Corp   2,252 
 17,661   *  Smart & Final Stores, Inc   161 
 27,344      Spartan Stores, Inc   710 
 96,073   *  Sprouts Farmers Market, Inc   2,178 
 191,905   *  Supervalu, Inc   631 
261

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 357,812      Sysco Corp  $18,009 
 36,929   *  United Natural Foods, Inc   1,355 
 96,385   *  US Foods Holding Corp   2,624 
 4,843      Village Super Market (Class A)   126 
 679,618      Walgreens Boots Alliance, Inc   53,221 
 1,060,084      Wal-Mart Stores, Inc   80,227 
 6,935      Weis Markets, Inc   338 
 230,202      Whole Foods Market, Inc   9,694 
        TOTAL FOOD & STAPLES RETAILING   253,591 
              
FOOD, BEVERAGE & TOBACCO - 4.9%     
 2,319      Alico, Inc   73 
 1,405,807      Altria Group, Inc   104,691 
 24,445   *,e  Amplify Snack Brands, Inc   236 
 404,426      Archer Daniels Midland Co   16,735 
 48,393   e  B&G Foods, Inc (Class A)   1,723 
 68,121   *  Blue Buffalo Pet Products, Inc   1,554 
 6,536   *  Boston Beer Co, Inc (Class A)   864 
 40,474      Brown-Forman Corp   1,995 
 128,233      Brown-Forman Corp (Class B)   6,232 
 101,424      Bunge Ltd   7,566 
 11,455   e  Calavo Growers, Inc   791 
 22,629   *,e  Cal-Maine Foods, Inc   896 
 129,925      Campbell Soup Co   6,776 
 61,868   *,e  Castle Brands, Inc   106 
 3,512      Coca-Cola Bottling Co Consolidated   804 
 2,795,161      Coca-Cola Co   125,363 
 294,481      ConAgra Foods, Inc   10,531 
 117,193      Constellation Brands, Inc (Class A)   22,704 
 317,953      Costco Wholesale Corp   50,850 
 7,653   *  Craft Brewers Alliance, Inc   129 
 118,243   *  Darling International, Inc   1,861 
 65,223      Dean Foods Co   1,109 
 133,175      Dr Pepper Snapple Group, Inc   12,133 
 5,320   *  Farmer Bros Co   161 
 128,238      Flowers Foods, Inc   2,220 
 23,973      Fresh Del Monte Produce, Inc   1,220 
 15,781   *  Freshpet, Inc   262 
 418,902      General Mills, Inc   23,207 
 73,323   *  Hain Celestial Group, Inc   2,846 
 101,221      Hershey Co   10,868 
 196,471      Hormel Foods Corp   6,702 
 57,996   *  Hostess Brands, Inc   934 
 51,834      Ingredion, Inc   6,179 
 11,144      J&J Snack Foods Corp   1,472 
 81,894      J.M. Smucker Co   9,690 
 5,780      John B. Sanfilippo & Son, Inc   365 
 179,952      Kellogg Co   12,499 
 436,182      Kraft Heinz Co   37,355 
 106,360      Lamb Weston Holdings, Inc   4,684 
 13,869      Lancaster Colony Corp   1,701 
 19,323   *  Landec Corp   287 
262

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,603   *  Lifeway Foods, Inc  $34 
 8,386      Limoneira Co   198 
 82,421      McCormick & Co, Inc   8,037 
 9,193      Mgp Ingredients, Inc   470 
 125,382      Molson Coors Brewing Co (Class B)   10,825 
 1,066,679      Mondelez International, Inc   46,070 
 300,840   *  Monster Beverage Corp   14,946 
 8,574   e  National Beverage Corp   802 
 15,084      Omega Protein Corp   270 
 1,039,155      PepsiCo, Inc   120,012 
 1,128,960      Philip Morris International, Inc   132,596 
 39,140   *  Pilgrim’s Pride Corp   858 
 85,273      Pinnacle Foods, Inc   5,065 
 47,135   *  Post Holdings, Inc   3,660 
 18,742   *  Primo Water Corp   238 
 599,121      Reynolds American, Inc   38,967 
 14,731      Sanderson Farms, Inc   1,704 
 192      Seaboard Corp   767 
 5,451   *  Seneca Foods Corp   169 
 60,655      Snyder’s-Lance, Inc   2,100 
 13,375   e  Tootsie Roll Industries, Inc   466 
 40,066   *  TreeHouse Foods, Inc   3,273 
 4,760   *  Turning Point Brands, Inc   73 
 202,406      Tyson Foods, Inc (Class A)   12,677 
 17,023      Universal Corp   1,101 
 67,168      Vector Group Ltd   1,432 
        TOTAL FOOD, BEVERAGE & TOBACCO   905,184 
              
HEALTH CARE EQUIPMENT & SERVICES - 5.6%     
 5,996   *,e  AAC Holdings, Inc   42 
 16,111      Abaxis, Inc   854 
 1,230,252      Abbott Laboratories   59,803 
 29,347   *  Abiomed, Inc   4,205 
 56,824   *,e  Acadia Healthcare Co, Inc   2,806 
 58,290   *  Accuray, Inc   277 
 20,426      Aceto Corp   316 
 5,501   *  Addus HomeCare Corp   205 
 235,743      Aetna Inc   35,793 
 62,546   *  Alere, Inc   3,139 
 57,688   *  Align Technology, Inc   8,660 
 133,589   *  Allscripts Healthcare Solutions, Inc   1,705 
 9,240   *  Almost Family, Inc   570 
 20,714   *  Amedisys, Inc   1,301 
 6,596   *,e  American Renal Associates Holdings, Inc   122 
 115,340      AmerisourceBergen Corp   10,903 
 34,893   *  AMN Healthcare Services, Inc   1,363 
 9,253      Analogic Corp   672 
 26,107   *  Angiodynamics, Inc   423 
 10,943   *  Anika Therapeutics, Inc   540 
 104,354   *  Antares Pharma, Inc   336 
 192,690      Anthem, Inc   36,251 
 28,653   *,e  athenahealth, Inc   4,027 
 22,609   *  AtriCure, Inc   548 
263

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 1,019      Atrion Corp  $656 
 18,090   *  AxoGen, Inc   303 
 52,805      Bard (C.R.), Inc   16,692 
 361,842      Baxter International, Inc   21,906 
 162,531      Becton Dickinson & Co   31,711 
 86,257   *,e  BioScrip, Inc   234 
 19,708   *  BioTelemetry, Inc   659 
 994,697   *  Boston Scientific Corp   27,573 
 135,933   *  Brookdale Senior Living, Inc   2,000 
 25,974      Cantel Medical Corp   2,024 
 19,478   *  Capital Senior Living Corp   296 
 229,696      Cardinal Health, Inc   17,898 
 23,626   *  Cardiovascular Systems, Inc   761 
 45,319   *,e  Castlight Health, Inc   188 
 123,264   *  Centene Corp   9,846 
 209,269   *  Cerner Corp   13,910 
 71,510   *,e  Cerus Corp   180 
 11,411      Chemed Corp   2,334 
 180,207      Cigna Corp   30,165 
 11,529   *  Civitas Solutions, Inc   202 
 68,750   *  Community Health Systems, Inc   685 
 8,700   e  Computer Programs & Systems, Inc   285 
 27,401   *  ConforMIS, Inc   118 
 19,875      Conmed Corp   1,012 
 35,077      Cooper Cos, Inc   8,398 
 55,618   *  Corindus Vascular Robotics, Inc   103 
 7,512   *  Corvel Corp   356 
 19,227   *  Cotiviti Holdings, Inc   714 
 25,224   *  Cross Country Healthcare, Inc   326 
 23,064   *  CryoLife, Inc   460 
 10,004   *  Cutera, Inc   259 
 445,570      Danaher Corp   37,602 
 113,091   *  DaVita, Inc   7,324 
 164,103      Dentsply Sirona, Inc   10,640 
 62,013   *  DexCom, Inc   4,536 
 34,269   *  Diplomat Pharmacy, Inc   507 
 151,822   *  Edwards Lifesciences Corp   17,951 
 59,131   *  Endologix, Inc   287 
 35,447      Ensign Group, Inc   772 
 8,941   *  Entellus Medical, Inc   148 
 84,226   *  Envision Healthcare Corp   5,278 
 27,704   *,e  Evolent Health, Inc   702 
 7,074   *  Exactech, Inc   211 
 436,423   *  Express Scripts Holding Co   27,861 
 4,418   *  FONAR Corp   123 
 28,070   *  Genesis Health Care, Inc   49 
 30,765   *  GenMark Diagnostics, Inc   364 
 20,642   *  Glaukos Corp   856 
 51,975   *  Globus Medical, Inc   1,723 
 38,562   *  Haemonetics Corp   1,523 
 33,829   *  Halyard Health, Inc   1,329 
 215,116   *  HCA Holdings, Inc   18,758 
264

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 35,870   *  HealthEquity, Inc  $1,787 
 65,205      Healthsouth Corp   3,156 
 18,780   *  HealthStream, Inc   494 
 57,649   *  Henry Schein, Inc   10,551 
 47,607      Hill-Rom Holdings, Inc   3,790 
 60,877   *  HMS Holdings Corp   1,126 
 202,541   *  Hologic, Inc   9,191 
 105,040      Humana, Inc   25,275 
 10,885   *  ICU Medical, Inc   1,878 
 63,470   *  Idexx Laboratories, Inc   10,245 
 12,244   *  Inogen Inc   1,168 
 43,464   *,e  Inovalon Holdings, Inc   572 
 41,898   *  Insulet Corp   2,150 
 22,691   *  Integer Holding Corp   981 
 44,740   *  Integra LifeSciences Holdings Corp   2,439 
 26,599   *  Intuitive Surgical, Inc   24,880 
 23,110      Invacare Corp   305 
 9,800   *  iRhythm Technologies, Inc   416 
 29,171   *  K2M Group Holdings, Inc   711 
 61,383      Kindred Healthcare, Inc   715 
 73,304   *  Laboratory Corp of America Holdings   11,299 
 6,715      Landauer, Inc   351 
 18,233   *  Lantheus Holdings, Inc   322 
 9,523      LeMaitre Vascular, Inc   297 
 11,372   *  LHC Group, Inc   772 
 26,991   *  LifePoint Hospitals, Inc   1,812 
 34,912   *  LivaNova plc   2,137 
 16,763   *  Magellan Health Services, Inc   1,222 
 32,408   *  Masimo Corp   2,955 
 154,043      McKesson Corp   25,346 
 40,701   *  Medidata Solutions, Inc   3,183 
 66,129   *  MEDNAX, Inc   3,992 
 996,847      Medtronic plc   88,470 
 31,965      Meridian Bioscience, Inc   503 
 35,220   *  Merit Medical Systems, Inc   1,344 
 31,755   *  Molina Healthcare, Inc   2,197 
 12,716   *,e  NantHealth, Inc   54 
 7,753      National Healthcare Corp   544 
 5,598      National Research Corp   151 
 24,197   *  Natus Medical, Inc   903 
 26,800   *  Neogen Corp   1,852 
 19,942   *  Nevro Corp   1,484 
 41,426   *,e  Novocure Ltd   717 
 36,380   *  NuVasive, Inc   2,798 
 45,234   *  NxStage Medical, Inc   1,134 
 6,699   *,e  Obalon Therapeutics, Inc   66 
 26,681   *  Omnicell, Inc   1,150 
 40,487   *  OraSure Technologies, Inc   699 
 12,159   *  Orthofix International NV   565 
 43,714      Owens & Minor, Inc   1,407 
 14,688   *  Oxford Immunotec Global plc   247 
 60,152      Patterson Cos, Inc   2,824 
 21,136   *  Penumbra, Inc   1,855 
265

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 22,536   *  PharMerica Corp  $592 
 36,971   *  Premier, Inc   1,331 
 8,662   *  Providence Service Corp   438 
 6,666   *,e  Pulse Biosciences, Inc   230 
 37,773   *  Quality Systems, Inc   650 
 99,275      Quest Diagnostics, Inc   11,035 
 20,943   *  Quidel Corp   568 
 18,147   *  Quotient Ltd   134 
 72,154   *  R1 RCM, Inc   271 
 25,914   *  RadNet, Inc   201 
 101,278      Resmed, Inc   7,887 
 37,335   *,e  Rockwell Medical, Inc   296 
 38,631   *  RTI Biologics, Inc   226 
 77,335   *  Select Medical Holdings Corp   1,187 
 10,185   *  Sientra, Inc   99 
 7,680      Simulations Plus, Inc   95 
 30,482   *  Spectranetics Corp   1,171 
 26,141   *  Staar Surgical Co   282 
 60,524      STERIS plc   4,933 
 246,945      Stryker Corp   34,271 
 13,353   *  Surgery Partners, Inc   304 
 10,275   *  SurModics, Inc   289 
 6,560   *  Tabula Rasa HealthCare, Inc   99 
 6,719   *  Tactile Systems Technology, Inc   192 
 38,788   *,e  Teladoc, Inc   1,346 
 32,646      Teleflex, Inc   6,783 
 59,665   *,e  Tenet Healthcare Corp   1,154 
 26,395   *  Tivity Health, Inc   1,052 
 18,039   *  Triple-S Management Corp (Class B)   305 
 697,332      UnitedHealth Group, Inc   129,299 
 63,040      Universal Health Services, Inc (Class B)   7,696 
 9,158      US Physical Therapy, Inc   553 
 2,349      Utah Medical Products, Inc   170 
 27,229   *  Varex Imaging Corp   920 
 66,963   *  Varian Medical Systems, Inc   6,910 
 56,676   *  VCA Antech, Inc   5,232 
 77,809   *  Veeva Systems, Inc   4,770 
 19,827   *,e  ViewRay, Inc   128 
 11,543   *,e  Viveve Medical, Inc   83 
 20,093   *  Vocera Communications, Inc   531 
 32,328   *  WellCare Health Plans, Inc   5,805 
 53,112      West Pharmaceutical Services, Inc   5,020 
 76,096   *  Wright Medical Group NV   2,092 
 145,971      Zimmer Holdings, Inc   18,743 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   1,037,514 
              
HOUSEHOLD & PERSONAL PRODUCTS - 1.7%     
 7,431   *  Central Garden & Pet Co   236 
 24,471   *  Central Garden and Pet Co (Class A)   735 
 180,695      Church & Dwight Co, Inc   9,375 
 93,788      Clorox Co   12,496 
 625,985      Colgate-Palmolive Co   46,404 
266

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 338,633      Coty, Inc  $6,353 
 41,449   *  Edgewell Personal Care Co   3,151 
 15,146   *  elf Beauty, Inc   412 
 44,546      Energizer Holdings, Inc   2,139 
 158,021      Estee Lauder Cos (Class A)   15,167 
 50,009   *,e  Herbalife Ltd   3,567 
 87,947   *  HRG Group, Inc   1,558 
 12,258      Inter Parfums, Inc   449 
 257,429      Kimberly-Clark Corp   33,237 
 7,966      Medifast, Inc   330 
 5,685      Natural Health Trends Corp   158 
 5,868      Nature’s Sunshine Products, Inc   78 
 38,027      Nu Skin Enterprises, Inc (Class A)   2,390 
 6,693      Nutraceutical International Corp   279 
 3,981      Oil-Dri Corp of America   167 
 6,476   e  Orchids Paper Products Co   84 
 1,862,641      Procter & Gamble Co   162,329 
 8,319   *  Revlon, Inc (Class A)   197 
 17,796      Spectrum Brands, Inc   2,225 
 8,349   *  USANA Health Sciences, Inc   535 
 10,129      WD-40 Co   1,118 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS   305,169 
              
INSURANCE - 4.2%     
 282,388      Aflac, Inc   21,936 
 10,835   *  Alleghany Corp   6,445 
 62,227      Allied World Assurance Co Holdings Ltd   3,292 
 264,639      Allstate Corp   23,405 
 32,424   *  AMBAC Financial Group, Inc   563 
 61,796      American Equity Investment Life Holding Co   1,624 
 49,160      American Financial Group, Inc   4,885 
 670,868      American International Group, Inc   41,943 
 5,469      American National Insurance Co   637 
 13,468      Amerisafe, Inc   767 
 61,882   e  Amtrust Financial Services, Inc   937 
 189,901      Aon plc   25,247 
 83,567   *  Arch Capital Group Ltd   7,796 
 20,906      Argo Group International Holdings Ltd   1,267 
 129,223      Arthur J. Gallagher & Co   7,398 
 43,239      Aspen Insurance Holdings Ltd   2,155 
 39,716      Assurant, Inc   4,118 
 87,044      Assured Guaranty Ltd   3,633 
 31,670   *  Athene Holding Ltd   1,571 
 8,461   *  Atlas Financial Holdings, Inc   126 
 60,449      Axis Capital Holdings Ltd   3,909 
 6,904      Baldwin & Lyons, Inc (Class B)   169 
 1,399,557   *  Berkshire Hathaway, Inc (Class B)   237,043 
 4,749      Blue Capital Reinsurance Holdings Ltd   87 
 86,224      Brown & Brown, Inc   3,714 
 338,150      Chubb Ltd   49,160 
 111,828      Cincinnati Financial Corp   8,102 
 32,879   *,e  Citizens, Inc (Class A)   243 
 19,762      CNA Financial Corp   963 
267

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 123,157      Conseco, Inc  $2,571 
 11,609      Crawford & Co (Class B)   108 
 7,812      Donegal Group, Inc (Class A)   124 
 11,930   *  eHealth, Inc   224 
 6,754      EMC Insurance Group, Inc   188 
 23,170      Employers Holdings, Inc   980 
 8,013   *  Enstar Group Ltd   1,592 
 17,977      Erie Indemnity Co (Class A)   2,248 
 29,455      Everest Re Group Ltd   7,499 
 7,071      FBL Financial Group, Inc (Class A)   435 
 10,321      Federated National Holding Co   165 
 8,380   e  Fidelity & Guaranty Life   260 
 77,945      First American Financial Corp   3,483 
 190,072      FNF Group   8,521 
 368,772   *  Genworth Financial, Inc (Class A)   1,390 
 6,929   *  Global Indemnity Ltd   269 
 20,683   *  Greenlight Capital Re Ltd (Class A)   432 
 7,438   *  Hallmark Financial Services   84 
 30,826      Hanover Insurance Group, Inc   2,732 
 265,313      Hartford Financial Services Group, Inc   13,947 
 5,533   e  HCI Group, Inc   260 
 8,194   *,e  Health Insurance Innovations, Inc   193 
 18,411      Heritage Insurance Holdings, Inc   240 
 29,606      Horace Mann Educators Corp   1,119 
 5,951      Independence Holding Co   122 
 7,783      Infinity Property & Casualty Corp   732 
 1,119      Investors Title Co   216 
 12,617      James River Group Holdings Ltd   501 
 28,739      Kemper Corp   1,109 
 7,037   e  Kingstone Cos, Inc   108 
 10,502      Kinsale Capital Group, Inc   392 
 162,638      Lincoln National Corp   10,991 
 202,045      Loews Corp   9,458 
 48,335      Maiden Holdings Ltd   536 
 9,985   *  Markel Corp   9,744 
 373,751      Marsh & McLennan Cos, Inc   29,138 
 91,305   *  MBIA, Inc   861 
 20,342   e  Mercury General Corp   1,098 
 665,919      Metlife, Inc   36,586 
 35,673      National General Holdings Corp   753 
 1,551      National Western Life Group, Inc   496 
 15,353      Navigators Group, Inc   843 
 7,308   *  NI Holdings, Inc   131 
 172,585      Old Republic International Corp   3,371 
 14,849      OneBeacon Insurance Group Ltd (Class A)   271 
 33,067      Primerica, Inc   2,505 
 193,646      Principal Financial Group   12,407 
 37,307      ProAssurance Corp   2,268 
 421,139      Progressive Corp   18,568 
 311,795      Prudential Financial, Inc   33,717 
 46,620      Reinsurance Group of America, Inc (Class A)   5,985 
 29,300      RenaissanceRe Holdings Ltd   4,074 
268

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 27,824      RLI Corp  $1,520 
 11,093      Safety Insurance Group, Inc   758 
 42,211      Selective Insurance Group, Inc   2,113 
 11,039      State Auto Financial Corp   284 
 21,827      State National Cos, Inc   401 
 15,315      Stewart Information Services Corp   695 
 51,271   *  Third Point Reinsurance Ltd   713 
 83,676      Torchmark Corp   6,401 
 203,222      Travelers Cos, Inc   25,714 
 15,868   *,e  Trupanion, Inc   355 
 16,104      United Fire & Casualty Co   710 
 12,682      United Insurance Holdings Corp   199 
 22,402      Universal Insurance Holdings, Inc   564 
 165,944      UnumProvident Corp   7,738 
 55,625      Validus Holdings Ltd   2,891 
 69,606      W.R. Berkley Corp   4,815 
 3,149      White Mountains Insurance Group Ltd   2,735 
 91,911      Willis Towers Watson plc   13,369 
 182,864      XL Group Ltd   8,009 
        TOTAL INSURANCE   779,164 
              
MATERIALS - 3.4%     
 20,886      A. Schulman, Inc   668 
 15,014      Advanced Emissions Solutions, Inc   138 
 22,501   *  AdvanSix, Inc   703 
 16,379   *,e  AgroFresh Solutions, Inc   118 
 155,344      Air Products & Chemicals, Inc   22,224 
 228,124   *  AK Steel Holding Corp   1,499 
 80,111      Albemarle Corp   8,455 
 133,728      Alcoa Corp   4,366 
 78,013   e  Allegheny Technologies, Inc   1,327 
 20,501      American Vanguard Corp   354 
 4,440      Ampco-Pittsburgh Corp   66 
 44,359      Aptargroup, Inc   3,853 
 13,288      Ardagh Group S.A.   301 
 45,269      Ashland Global Holdings, Inc   2,984 
 63,918      Avery Dennison Corp   5,648 
 153,684   *  Axalta Coating Systems Ltd   4,924 
 23,190      Balchem Corp   1,802 
 251,221      Ball Corp   10,604 
 66,316      Bemis Co, Inc   3,067 
 93,622   *  Berry Plastics Group, Inc   5,337 
 27,727   *  Boise Cascade Co   843 
 43,691      Cabot Corp   2,334 
 36,582      Calgon Carbon Corp   552 
 34,250      Carpenter Technology Corp   1,282 
 101,238      Celanese Corp (Series A)   9,612 
 36,798   *  Century Aluminum Co   573 
 169,311      CF Industries Holdings, Inc   4,734 
 5,158      Chase Corp   550 
 133,935      Chemours Co   5,079 
 11,678   *  Clearwater Paper Corp   546 
 213,712   *  Cliffs Natural Resources, Inc   1,479 
269

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 23,538   *  Codexis, Inc  $128 
 131,927   *  Coeur Mining, Inc   1,132 
 83,562      Commercial Metals Co   1,624 
 24,359   e  Compass Minerals International, Inc   1,591 
 5,367   *  Core Molding Technologies, Inc   116 
 95,367   *  Crown Holdings, Inc   5,690 
 8,022      Deltic Timber Corp   599 
 45,300      Domtar Corp   1,740 
 887,767      Dow Chemical Co   55,992 
 34,107      Eagle Materials, Inc   3,152 
 105,644      Eastman Chemical Co   8,873 
 186,624      Ecolab, Inc   24,774 
 631,742      EI du Pont de Nemours & Co   50,988 
 60,041   *  Ferro Corp   1,098 
 47,286   *,m  Ferroglobe plc    0 
 40,724   *,e  Flotek Industries, Inc   364 
 97,276      FMC Corp   7,106 
 10,806   *,e  Forterra, Inc   89 
 984,653   *  Freeport-McMoRan Copper & Gold, Inc (Class B)   11,826 
 17,819      FutureFuel Corp   269 
 52,340   *  GCP Applied Technologies, Inc   1,596 
 39,231   *  Gold Resource Corp   160 
 224,514      Graphic Packaging Holding Co   3,094 
 3,993      Greif, Inc   241 
 18,292      Greif, Inc (Class A)   1,020 
 36,359      H.B. Fuller Co   1,858 
 1,617   *  Handy & Harman Ltd   51 
 7,923      Hawkins, Inc   367 
 9,402      Haynes International, Inc   341 
 283,752      Hecla Mining Co   1,447 
 146,965      Huntsman Corp   3,798 
 30,403   *  Ingevity Corp   1,745 
 14,138      Innophos Holdings, Inc   620 
 17,291      Innospec, Inc   1,133 
 57,411      International Flavors & Fragrances, Inc   7,751 
 298,495      International Paper Co   16,898 
 67,354   *  Intrepid Potash, Inc   152 
 12,178      Kaiser Aluminum Corp   1,078 
 62,146      Kapstone Paper and Packaging Corp   1,282 
 125,028   *  Klondex Mines Ltd   421 
 7,156      KMG Chemicals, Inc   348 
 15,231   *  Koppers Holdings, Inc   551 
 21,628   *  Kraton Polymers LLC   745 
 14,288      Kronos Worldwide, Inc   260 
 104,108   *  Louisiana-Pacific Corp   2,510 
 15,120   *,e  LSB Industries, Inc   156 
 239,558      LyondellBasell Industries AF S.C.A   20,216 
 45,716      Martin Marietta Materials, Inc   10,176 
 14,781      Materion Corp   553 
 25,740      Minerals Technologies, Inc   1,884 
 318,910      Monsanto Co   37,746 
 255,239      Mosaic Co   5,827 
270

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 18,118      Myers Industries, Inc  $325 
 12,153      Neenah Paper, Inc   975 
 5,318      NewMarket Corp   2,449 
 387,814      Newmont Mining Corp   12,561 
 230,525      Nucor Corp   13,341 
 119,149      Olin Corp   3,608 
 6,559      Olympic Steel, Inc   128 
 32,453   *  Omnova Solutions, Inc   316 
 117,357   *  Owens-Illinois, Inc   2,807 
 67,871      Packaging Corp of America   7,560 
 32,454      PH Glatfelter Co   634 
 159,281   *  Platform Specialty Products Corp   2,020 
 58,890      PolyOne Corp   2,281 
 186,225      PPG Industries, Inc   20,477 
 207,766      Praxair, Inc   27,539 
 9,399      Quaker Chemical Corp   1,365 
 31,957      Rayonier Advanced Materials, Inc   502 
 51,675      Reliance Steel & Aluminum Co   3,763 
 47,285      Royal Gold, Inc   3,696 
 94,890      RPM International, Inc   5,176 
 8,418   *  Ryerson Holding Corp   83 
 19,399      Schnitzer Steel Industries, Inc (Class A)   489 
 22,501      Schweitzer-Mauduit International, Inc   838 
 31,954      Scotts Miracle-Gro Co (Class A)   2,859 
 142,174      Sealed Air Corp   6,364 
 31,510      Sensient Technologies Corp   2,538 
 59,529      Sherwin-Williams Co   20,892 
 53,846      Silgan Holdings, Inc   1,711 
 71,076      Sonoco Products Co   3,655 
 58,429      Southern Copper Corp (NY)   2,023 
 168,984      Steel Dynamics, Inc   6,051 
 14,267      Stepan Co   1,243 
 77,273   *  Summit Materials, Inc   2,231 
 48,451   *  SunCoke Energy, Inc   528 
 225,143      Tahoe Resources, Inc   1,941 
 29,755   *  TimkenSteel Corp   457 
 15,246   *  Trecora Resources   172 
 19,671      Tredegar Corp   300 
 31,587      Trinseo S.A.   2,170 
 47,159      Tronox Ltd   713 
 4,630   *  UFP Technologies, Inc   131 
 1,357      United States Lime & Minerals, Inc   107 
 126,215   e  United States Steel Corp   2,794 
 11,048   *,e  US Concrete, Inc   868 
 16,839      Valhi, Inc   50 
 149,774      Valvoline, Inc   3,553 
 22,885   *  Verso Corp   107 
 95,502      Vulcan Materials Co   12,098 
 11,178   e  Warrior Met Coal, Inc   192 
 25,912      Westlake Chemical Corp   1,716 
 180,206      WestRock Co   10,211 
 33,320   *  Worthington Industries, Inc   1,673 
 49,838      WR Grace & Co   3,589 
        TOTAL MATERIALS  615,068 
271

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
MEDIA - 2.9%     
 39,663   e  AMC Entertainment Holdings, Inc  $902 
 38,893   *  AMC Networks, Inc   2,077 
 3,422      Cable One, Inc   2,433 
 259,002      CBS Corp (Class B)   16,519 
 57,360   *,e  Central European Media Enterprises Ltd (Class A) (NASDAQ)   229 
 144,127   *  Charter Communications, Inc   48,549 
 76,895      Cinemark Holdings, Inc   2,987 
 28,047      Clear Channel Outdoor Holdings, Inc (Class A)   136 
 3,426,333      Comcast Corp (Class A)   133,353 
 772   *,e  Daily Journal Corp   159 
 111,235   *  Discovery Communications, Inc (Class A)   2,873 
 152,146   *  Discovery Communications, Inc (Class C)   3,836 
 160,357   *  DISH Network Corp (Class A)   10,064 
 11,002      Emerald Expositions Events, Inc   241 
 18,269   e  Entercom Communications Corp (Class A)   189 
 50,932      Entravision Communications Corp (Class A)   336 
 20,620   *,e  Eros International plc   236 
 42,935   *  EW Scripps Co (Class A)   765 
 86,657      Gannett Co, Inc   756 
 34,321   *  Global Eagle Entertainment, Inc   122 
 46,930   *  Gray Television, Inc   643 
 11,523   *  Hemisphere Media Group, Inc   137 
 42,177   *  Imax Corp   928 
 286,311      Interpublic Group of Cos, Inc   7,043 
 32,444      John Wiley & Sons, Inc (Class A)   1,711 
 7,655   *  Liberty Braves Group (Class A)   183 
 25,374   *  Liberty Braves Group (Class C)   608 
 18,479   *  Liberty Broadband Corp (Class A)   1,585 
 75,264   *  Liberty Broadband Corp (Class C)   6,529 
 18,661   *,e  Liberty Media Group (Class A)   654 
 76,828   *,e  Liberty Media Group (Class C)   2,814 
 64,398   *  Liberty SiriusXM Group (Class A)   2,703 
 129,903   *  Liberty SiriusXM Group (Class C)   5,417 
 37,150   *  Lions Gate Entertainment Corp (Class A)   1,048 
 71,817   *  Lions Gate Entertainment Corp (Class B)   1,887 
 96,974   *  Live Nation, Inc   3,380 
 9,932   *  Loral Space & Communications, Inc   413 
 13,660   *  Madison Square Garden Co   2,690 
 37,799      MDC Partners, Inc   374 
 27,920      Meredith Corp   1,660 
 43,336   *  MSG Networks, Inc   973 
 46,358      National CineMedia, Inc   344 
 36,183      New Media Investment Group, Inc   488 
 89,935      New York Times Co (Class A)   1,592 
 275,992      News Corp   3,781 
 86,319      News Corp (Class B)   1,221 
 32,519      Nexstar Broadcasting Group, Inc (Class A)   1,945 
 167,928      Omnicom Group, Inc   13,921 
 12,373   *  Reading International, Inc   200 
 81,985      Regal Entertainment Group (Class A)   1,677 
272

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,161      Saga Communications, Inc  $145 
 7,701      Salem Communications   55 
 19,984      Scholastic Corp   871 
 61,710      Scripps Networks Interactive (Class A)   4,215 
 51,858      Sinclair Broadcast Group, Inc (Class A)   1,706 
 1,070,311   e  Sirius XM Holdings, Inc   5,855 
 156,124      TEGNA, Inc   2,250 
 564,159      Time Warner, Inc   56,647 
 71,820      Time, Inc   1,031 
 5,104   *  Townsquare Media, Inc   52 
 52,414      Tribune Co   2,137 
 15,283   *  tronc, Inc   197 
 757,662      Twenty-First Century Fox, Inc   21,472 
 318,485      Twenty-First Century Fox, Inc (Class B)   8,876 
 7,706      Viacom, Inc   293 
 254,328      Viacom, Inc (Class B)   8,538 
 1,138,608      Walt Disney Co   120,977 
 27,047   e  World Wrestling Entertainment, Inc (Class A)   551 
        TOTAL MEDIA   531,179 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 8.3%     
 1,158,720      AbbVie, Inc   84,019 
 18,729   *  Abeona Therapeutics, Inc   120 
 70,913   *  Acadia Pharmaceuticals, Inc   1,978 
 18,841   *,e  Accelerate Diagnostics, Inc   515 
 22,847   *  Acceleron Pharma, Inc   694 
 21,294   *  Achaogen, Inc   463 
 86,253   *  Achillion Pharmaceuticals, Inc   396 
 14,790   *  Aclaris Therapeutics, Inc   401 
 31,389   *  Acorda Therapeutics, Inc   618 
 12,735   *,e  Adamas Pharmaceuticals, Inc   223 
 26,641   *,e  Aduro Biotech, Inc   304 
 26,299   *,e  Advaxis, Inc   171 
 21,807   *  Aerie Pharmaceuticals, Inc   1,146 
 56,789   *  Agenus, Inc   222 
 235,475      Agilent Technologies, Inc   13,966 
 30,271   *,e  Agios Pharmaceuticals, Inc   1,557 
 25,712   *  Aimmune Therapeutics, Inc   529 
 26,366   *  Akebia Therapeutics, Inc   379 
 64,824   *  Akorn, Inc   2,174 
 17,375   *,e  Albany Molecular Research, Inc   377 
 34,164   *  Alder Biopharmaceuticals, Inc   391 
 158,297   *  Alexion Pharmaceuticals, Inc   19,260 
 110,420   *  Alkermes plc   6,401 
 244,086      Allergan plc   59,335 
 54,942   *,e  Alnylam Pharmaceuticals, Inc   4,382 
 25,493   *  AMAG Pharmaceuticals, Inc   469 
 535,092      Amgen, Inc   92,159 
 106,521   *,e  Amicus Therapeutics, Inc   1,073 
 25,774   *  Amphastar Pharmaceuticals, Inc   460 
 3,802   *  AnaptysBio, Inc   91 
 23,093   *,e  Anavex Life Sciences Corp   123 
 5,767   *  ANI Pharmaceuticals, Inc   270 
273

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 29,050   *  Aratana Therapeutics, Inc  $210 
 22,973   *  Ardelyx, Inc   117 
 23,307   *  Arena Pharmaceuticals, Inc   393 
 126,892   *  Array Biopharma, Inc   1,062 
 10,043   *  Assembly Biosciences, Inc   207 
 17,138   *,e  Asterias Biotherapeutics, Inc   61 
 17,368   *,e  Atara Biotherapeutics, Inc   243 
 52,762   *,e  Athersys, Inc   80 
 10,702   *  Audentes Therapeutics, Inc   205 
 14,714   *,e  Avexis, Inc   1,209 
 21,434   *,e  Axovant Sciences Ltd   497 
 19,950   *,e  Bellicum Pharmaceuticals, Inc   233 
 53,741   *  BioCryst Pharmaceuticals, Inc   299 
 154,349   *  Biogen Idec, Inc   41,884 
 7,175   *  Biohaven Pharmaceutical Holding Co Ltd   179 
 126,546   *  BioMarin Pharmaceutical, Inc   11,493 
 15,362   *  Bio-Rad Laboratories, Inc (Class A)   3,477 
 3,856   *  Biospecifics Technologies Corp   191 
 26,802      Bio-Techne Corp   3,149 
 56,186   *,e  BioTime, Inc   177 
 78,809   *  Bioverativ, Inc   4,742 
 29,677   *  Bluebird Bio, Inc   3,118 
 28,144   *  Blueprint Medicines Corp   1,426 
 1,198,323      Bristol-Myers Squibb Co   66,770 
 76,600      Bruker BioSciences Corp   2,209 
 21,820   *  Calithera Biosciences, Inc   324 
 23,380   *  Cambrex Corp   1,397 
 19,366   *,e  Cara Therapeutics Inc   298 
 26,295   *  Cascadian Therapeutics, Inc   98 
 90,837   *  Catalent, Inc   3,188 
 50,782   *  Catalyst Pharmaceuticals, Inc   140 
 563,476   *  Celgene Corp   73,179 
 73,063   *,e  Celldex Therapeutics, Inc   180 
 30,752   *  Cempra, Inc   141 
 34,386   *  Charles River Laboratories International, Inc   3,478 
 18,304   *  ChemoCentryx, Inc   171 
 30,594   *  Chimerix, Inc   167 
 14,633   *  Clearside Biomedical, Inc   133 
 28,355   *  Clovis Oncology, Inc   2,655 
 27,864   *  Coherus Biosciences, Inc   400 
 16,286   *,e  Collegium Pharmaceutical, Inc   204 
 11,239   *  Concert Pharmaceuticals Inc   157 
 18,652   *  Contatus Pharmaceuticals, Inc   107 
 32,828   *,e  Corbus Pharmaceuticals Holdings, Inc   207 
 65,375   *  Corcept Therapeutics, Inc   771 
 15,295   *  Corium International, Inc   114 
 6,717   *,e  Corvus Pharmaceuticals, Inc   81 
 84,568   *  Curis, Inc   160 
 30,153   *  Cytokinetics, Inc   365 
 21,311   *  CytomX Therapeutics, Inc   330 
 44,278   *  Depomed, Inc   476 
 27,246   *  Dermira, Inc   794 
274

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 84,059   *  Durect Corp  $131 
 35,256   *,e  Dynavax Technologies Corp   340 
 6,368   *,e  Eagle Pharmaceuticals, Inc   502 
 12,202   *  Edge Therapeutics, Inc   125 
 24,325   *,e  Editas Medicine, Inc   408 
 710,463      Eli Lilly & Co   58,471 
 24,015   *  Emergent Biosolutions, Inc   814 
 11,786   *  Enanta Pharmaceuticals, Inc   424 
 161,263   *  Endo International plc   1,801 
 27,058   *  Enzo Biochem, Inc   299 
 29,818   *  Epizyme, Inc   450 
 9,694   *,e  Esperion Thereapeutics, Inc   449 
 79,297   *  Exact Sciences Corp   2,805 
 209,243   *  Exelixis, Inc   5,154 
 24,636   *  Fate Therapeutics, Inc   80 
 42,613   *  FibroGen, Inc   1,376 
 19,800   *  Five Prime Therapeutics, Inc   596 
 19,463   *,e  Flexion Therapeutics Inc   394 
 20,851   *  Fluidigm Corp   84 
 24,951   *,e  Fortress Biotech, Inc   118 
 10,540   *,e  Foundation Medicine, Inc   419 
 20,661   *,e  Genocea Biosciences Inc   108 
 14,071   *  Genomic Health, Inc   458 
 114,325   *,e  Geron Corp   317 
 946,265      Gilead Sciences, Inc   66,977 
 26,450   *  Global Blood Therapeutics, Inc   723 
 79,065   *  Halozyme Therapeutics, Inc   1,014 
 32,353   *,e  Heron Therapeutics, Inc   448 
 4,605   *  Heska Corp   470 
 118,653   *  Horizon Pharma plc   1,408 
 62,986   *,e  Idera Pharmaceuticals, Inc   108 
 35,767   *  Ignyta, Inc   370 
 105,853   *  Illumina, Inc   18,368 
 8,484   *  Immune Design Corp   83 
 65,469   *,e  Immunogen, Inc   465 
 69,521   *,e  Immunomedics, Inc   614 
 53,162   *  Impax Laboratories, Inc   856 
 39,474   *  INC Research Holdings, Inc   2,309 
 122,282   *  Incyte Corp   15,397 
 55,553   *  Innoviva, Inc   711 
 49,160   *,e  Inovio Pharmaceuticals, Inc   385 
 45,452   *  Insmed, Inc   780 
 17,481   *,e  Insys Therapeutics, Inc   221 
 10,757   *,e  Intellia Therapeutics, Inc   172 
 12,921   *,e  Intercept Pharmaceuticals, Inc   1,564 
 18,642   *  Intersect ENT, Inc   521 
 25,348   *  Intra-Cellular Therapies, Inc   315 
 39,434   *,e  Intrexon Corp   950 
 27,249   *,e  Invitae Corp   260 
 89,084   *  Ionis Pharmaceuticals, Inc   4,532 
 34,093   *  Iovance Biotherapeutics, Inc   251 
 95,014   *  Ironwood Pharmaceuticals, Inc   1,794 
 1,961,896      Johnson & Johnson   259,539 
275

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 4,482   *  Jounce Therapeutics, Inc  $63 
 46,335   *,e  Juno Therapeutics, Inc   1,385 
 23,632   *,e  Karyopharm Therapeutics, Inc   214 
 59,203   *,e  Keryx Biopharmaceuticals, Inc   428 
 15,620   *  Kindred Biosciences Inc   134 
 35,215   *,e  Kite Pharma, Inc   3,651 
 10,057   *  Kura Oncology, Inc   94 
 12,410   *,e  La Jolla Pharmaceutical Co   369 
 19,506   *,e  Lannett Co, Inc   398 
 30,110   *,e  Lexicon Pharmaceuticals, Inc   495 
 14,752   *  Ligand Pharmaceuticals, Inc (Class B)   1,791 
 14,417   *  Loxo Oncology, Inc   1,156 
 31,134      Luminex Corp   658 
 23,459   *  MacroGenics, Inc   411 
 72,043   *  Mallinckrodt plc   3,228 
 40,487   *  Matinas BioPharma Holdings, Inc   68 
 49,764   *,e  Medicines Co   1,892 
 22,034   *,e  MediciNova, Inc   116 
 5,025   *,e  Medpace Holdings, Inc   146 
 1,992,099      Merck & Co, Inc   127,673 
 90,592      Merrimack Pharmaceuticals, Inc   112 
 18,529   *  Mettler-Toledo International, Inc   10,905 
 75,041   *,e  MiMedx Group, Inc   1,123 
 18,922   *,e  Minerva Neurosciences, Inc   167 
 10,019   *,e  Miragen Therapeutics, Inc   130 
 53,355   *  Momenta Pharmaceuticals, Inc   902 
 386,897   *  Mylan NV   15,019 
 11,927   *  MyoKardia, Inc   156 
 46,607   *  Myriad Genetics, Inc   1,204 
 10,862   *  NanoString Technologies, Inc   180 
 22,232   *,e  NantKwest, Inc   169 
 19,889   *  Natera, Inc   216 
 107,133   *  Nektar Therapeutics   2,094 
 38,546   *  NeoGenomics, Inc   345 
 10,102   *,e  Neos Therapeutics, Inc   74 
 63,342   *  Neurocrine Biosciences, Inc   2,914 
 14,869   *,e  NewLink Genetics Corp   109 
 197,987   *,e  Novavax, Inc   228 
 10,969   *  Novelion Therapeutics, Inc   101 
 19,320   *,e  Nymox Pharmaceutical Corp   85 
 13,115   *,e  Ocular Therapeutix, Inc   122 
 29,642   *,e  Omeros Corp   590 
 238,337   *,e  Opko Health, Inc   1,568 
 60,008   *,e  Organovo Holdings, Inc   158 
 18,209   *  Otonomy, Inc   343 
 4,292   *  Ovid therapeutics, Inc   45 
 55,440   *  Pacific Biosciences of California, Inc   197 
 28,237   *  Pacira Pharmaceuticals, Inc   1,347 
 17,330   *  Paratek Pharmaceuticals, Inc   418 
 36,119   *  Parexel International Corp   3,139 
 25,000   *  Patheon NV   872 
276

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 120,653      PDL BioPharma, Inc  $298 
 78,986      PerkinElmer, Inc   5,382 
 93,495      Perrigo Co plc   7,061 
 4,303,578      Pfizer, Inc   144,557 
 12,927      Phibro Animal Health Corp   479 
 24,527   *,e  Pieris Pharmaceuticals, Inc   124 
 36,240   *  Portola Pharmaceuticals, Inc   2,036 
 28,079   *  PRA Health Sciences, Inc   2,106 
 38,233   *  Prestige Brands Holdings, Inc   2,019 
 51,583   *  Progenics Pharmaceuticals, Inc   350 
 4,860   *,e  Protagonist Therapeutics, Inc   55 
 27,579   *,e  Prothena Corp plc   1,493 
 25,096   *  PTC Therapeutics, Inc   460 
 20,506   *  Puma Biotechnology, Inc   1,792 
 166,375      QIAGEN NV   5,579 
 92,350   *  Quintiles Transnational Holdings, Inc   8,265 
 8,205   *  Ra Pharmaceuticals, Inc   154 
 27,010   *,e  Radius Health, Inc   1,222 
 6,375   *  Reata Pharmaceuticals, Inc   202 
 8,471   *  Recro Pharma, Inc   60 
 57,022   *  Regeneron Pharmaceuticals, Inc   28,006 
 19,715   *  REGENXBIO, Inc   389 
 24,847   *  Repligen Corp   1,030 
 25,726   *  Retrophin, Inc   499 
 15,494   *  Revance Therapeutics, Inc   409 
 86,450   *  Rigel Pharmaceuticals, Inc   236 
 24,925   *  Sage Therapeutics, Inc   1,985 
 52,234   *  Sangamo Biosciences, Inc   460 
 37,245   *  Sarepta Therapeutics, Inc   1,256 
 38,141   *  Sciclone Pharmaceuticals, Inc   420 
 70,004   *  Seattle Genetics, Inc   3,622 
 8,829   *  Selecta Biosciences, Inc   175 
 13,345   *,e  Seres Therapeutics, Inc   151 
 16,648   *  Spark Therapeutics, Inc   995 
 56,104   *  Spectrum Pharmaceuticals, Inc   418 
 12,168   *  Stemline Therapeutics, Inc   112 
 14,983   *  Strongbridge Biopharma plc   107 
 18,349   *,e  Sucampo Pharmaceuticals, Inc (Class A)   193 
 34,621   *  Supernus Pharmaceuticals, Inc   1,492 
 6,983   *  Syndax Pharmaceuticals, Inc   98 
 164,107   *,e  Synergy Pharmaceuticals, Inc   730 
 9,466   *  Syros Pharmaceuticals, Inc   152 
 29,885   *,e  Teligent, Inc   273 
 26,872   *  TESARO, Inc   3,758 
 26,726   *  Tetraphase Pharmaceuticals, Inc   191 
 34,724   *,e  TG Therapeutics, Inc   349 
 114,084   *,e  TherapeuticsMD, Inc   601 
 29,259   *,e  Theravance Biopharma, Inc   1,166 
 283,664      Thermo Fisher Scientific, Inc   49,491 
 6,981   *,m  Tobira Therapeutics, Inc   96 
 6,159   *  Tocagen, Inc   74 
 32,080   *  Trevena, Inc   74 
 28,669   *  Ultragenyx Pharmaceutical, Inc   1,781 
277

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 32,107   *  United Therapeutics Corp  $4,165 
 31,395   *  Vanda Pharmaceuticals, Inc   512 
 17,356   *,e  VBI Vaccines, Inc   75 
 16,367   *  Veracyte, Inc   136 
 23,940   *  Versartis, Inc   418 
 180,907   *  Vertex Pharmaceuticals, Inc   23,313 
 8,673   *  Voyager Therapeutics, Inc   78 
 61,736   *  VWR Corp   2,038 
 55,580   *  Waters Corp   10,218 
 8,910   *,e  WaVe Life Sciences Pte Ltd   166 
 8,356   *,e  XBiotech, Inc   39 
 27,098   *  Xencor Inc   572 
 90,754   *,e  ZIOPHARM Oncology, Inc   564 
 357,438      Zoetis, Inc   22,297 
 17,421   *  Zogenix, Inc   253 
 7,989   *,e  Zynerba Pharmaceuticals, Inc   136 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   1,524,605 
              
REAL ESTATE - 4.1%     
 60,331      Acadia Realty Trust   1,677 
 18,415      Agree Realty Corp   845 
 33,490      Alexander & Baldwin, Inc   1,386 
 1,574      Alexander’s, Inc   663 
 65,407      Alexandria Real Estate Equities, Inc   7,880 
 8,343   *,e  Altisource Portfolio Solutions S.A.   182 
 37,147      Altisource Residential Corp   481 
 28,646      American Assets Trust,Inc   1,128 
 96,842      American Campus Communities, Inc   4,581 
 164,177      American Homes 4 Rent   3,705 
 307,286      American Tower Corp   40,660 
 113,859      Apartment Investment & Management Co (Class A)   4,893 
 149,114      Apple Hospitality REIT, Inc   2,790 
 31,681      Armada Hoffler Properties, Inc   410 
 20,771      Ashford Hospitality Prime, Inc   214 
 56,474      Ashford Hospitality Trust, Inc   343 
 7,072   *  AV Homes, Inc   142 
 100,179      AvalonBay Communities, Inc   19,251 
 16,903      Bluerock Residential Growth REIT, Inc   218 
 111,751      Boston Properties, Inc   13,748 
 127,370      Brandywine Realty Trust   2,233 
 218,369      Brixmor Property Group, Inc   3,904 
 62,799      Camden Property Trust   5,370 
 61,176      Care Capital Properties, Inc   1,633 
 50,740      CareTrust REIT, Inc   941 
 29,192      CatchMark Timber Trust Inc   332 
 124,137   e  CBL & Associates Properties, Inc   1,047 
 213,981   *  CBRE Group, Inc   7,789 
 62,949      Cedar Realty Trust, Inc   305 
 28,285      Chatham Lodging Trust   568 
 44,088      Chesapeake Lodging Trust   1,079 
 21,833      City Office REIT, Inc   277 
 10,462      Clipper Realty, Inc   129 
278

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 390,838      Colony NorthStar, Inc  $5,507 
 72,708      Colony Starwood Homes   2,495 
 88,663      Columbia Property Trust, Inc   1,984 
 9,586      Community Healthcare Trust, Inc   245 
 3,235      Consolidated-Tomoka Land Co   184 
 86,682      CoreCivic, Inc   2,391 
 9,299      CorEnergy Infrastructure Trust, Inc   312 
 24,799      Coresite Realty   2,567 
 72,219      Corporate Office Properties Trust   2,530 
 301,076      Cousins Properties, Inc   2,646 
 265,588      Crown Castle International Corp   26,607 
 131,589      CubeSmart   3,163 
 62,800      CyrusOne, Inc   3,501 
 66,623      DCT Industrial Trust, Inc   3,560 
 227,125      DDR Corp   2,060 
 144,818      DiamondRock Hospitality Co   1,586 
 115,864      Digital Realty Trust, Inc   13,087 
 105,109      Douglas Emmett, Inc   4,016 
 256,864      Duke Realty Corp   7,179 
 56,089      DuPont Fabros Technology, Inc   3,430 
 26,096      Easterly Government Properties, Inc   547 
 23,492      EastGroup Properties, Inc   1,969 
 52,715      Education Realty Trust, Inc   2,043 
 92,680      Empire State Realty Trust, Inc   1,925 
 45,571      Entertainment Properties Trust   3,275 
 56,466      Equinix, Inc   24,233 
 86,883   *  Equity Commonwealth   2,746 
 59,043      Equity Lifestyle Properties, Inc   5,098 
 259,865      Equity Residential   17,107 
 47,611      Essex Property Trust, Inc   12,249 
 88,751      Extra Space Storage, Inc   6,923 
 19,962   e  Farmland Partners, Inc   178 
 52,442      Federal Realty Investment Trust   6,628 
 94,250      FelCor Lodging Trust, Inc   680 
 84,012      First Industrial Realty Trust, Inc   2,404 
 42,783      First Potomac Realty Trust   475 
 166,308      Forest City Realty Trust, Inc   4,020 
 28,997   *  Forestar Group, Inc   497 
 44,705      Four Corners Property Trust, Inc   1,123 
 72,511      Franklin Street Properties Corp   803 
 4,942   *  FRP Holdings, Inc   228 
 141,130      Gaming and Leisure Properties, Inc   5,316 
 87,896      Geo Group, Inc   2,599 
 18,198      Getty Realty Corp   457 
 447,660      GGP, Inc   10,547 
 17,811      Gladstone Commercial Corp   388 
 10,990   e  Global Medical REIT, Inc   98 
 44,961   *  Global Net Lease, Inc   1,000 
 51,670      Government Properties Income Trust   946 
 108,607      Gramercy Property Trust   3,227 
 341,350      HCP, Inc   10,910 
 82,789      Healthcare Realty Trust, Inc   2,827 
 142,087      Healthcare Trust of America, Inc   4,420 
279

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 27,708      Hersha Hospitality Trust  $513 
 27,225      HFF, Inc (Class A)   947 
 72,965      Highwoods Properties, Inc   3,700 
 118,720      Hospitality Properties Trust   3,461 
 529,668      Host Marriott Corp   9,677 
 24,727   *  Howard Hughes Corp   3,037 
 113,109      Hudson Pacific Properties   3,867 
 48,914      Independence Realty Trust, Inc   483 
 90,609      Investors Real Estate Trust   563 
 64,629      Invitation Homes, Inc   1,398 
 190,342      Iron Mountain, Inc   6,540 
 49,646   *  iStar Financial, Inc   598 
 6,203   e  Jernigan Capital, Inc   136 
 32,687      Jones Lang LaSalle, Inc   4,086 
 61,074      Kennedy-Wilson Holdings, Inc   1,163 
 69,929      Kilroy Realty Corp   5,255 
 297,898      Kimco Realty Corp   5,466 
 60,886      Kite Realty Group Trust   1,153 
 60,216      Lamar Advertising Co   4,430 
 81,319      LaSalle Hotel Properties   2,423 
 155,973      Lexington Realty Trust   1,546 
 106,955      Liberty Property Trust   4,354 
 33,188      Life Storage, Inc   2,459 
 27,895      LTC Properties, Inc   1,434 
 99,507      Macerich Co   5,777 
 65,387      Mack-Cali Realty Corp   1,775 
 11,498   *  Marcus & Millichap, Inc   303 
 4,532   *  Maui Land & Pineapple Co, Inc   92 
 20,532      MedEquities Realty Trust, Inc   259 
 258,540      Medical Properties Trust, Inc   3,327 
 82,482      Mid-America Apartment Communities, Inc   8,692 
 50,307      Monmouth Real Estate Investment Corp (Class A)   757 
 121,396      Monogram Residential Trust, Inc   1,179 
 28,092      National Health Investors, Inc   2,225 
 107,854      National Retail Properties, Inc   4,217 
 31,451      National Storage Affiliates Trust   727 
 55,714      New Senior Investment Group, Inc   560 
 12,730      NexPoint Residential Trust, Inc   317 
 42,262      NorthStar Realty Europe Corp   536 
 139,485   e  Omega Healthcare Investors, Inc   4,606 
 9,027      One Liberty Properties, Inc   212 
 101,625      Outfront Media, Inc   2,350 
 141,733      Paramount Group, Inc   2,268 
 92,621      Park Hotels & Resorts, Inc   2,497 
 31,089      Parkway, Inc   712 
 49,813      Pebblebrook Hotel Trust   1,606 
 52,388      Pennsylvania REIT   593 
 107,460      Physicians Realty Trust   2,164 
 105,394      Piedmont Office Realty Trust, Inc   2,222 
 29,588      Potlatch Corp   1,352 
 21,687      Preferred Apartment Communities, Inc   342 
 382,521      Prologis, Inc   22,431 
280

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 14,490      PS Business Parks, Inc  $1,918 
 107,802      Public Storage, Inc   22,480 
 34,553      QTS Realty Trust, Inc   1,808 
 69,475   *  Quality Care Properties, Inc   1,272 
 62,959      RAIT Investment Trust   138 
 57,913      Ramco-Gershenson Properties   747 
 93,261      Rayonier, Inc   2,683 
 13,117      Re/Max Holdings, Inc   735 
 98,527      Realogy Holdings Corp   3,197 
 198,343      Realty Income Corp   10,945 
 108,110      Regency Centers Corp   6,772 
 78,162      Retail Opportunities Investment Corp   1,500 
 173,060      Retail Properties of America, Inc   2,113 
 48,113      Rexford Industrial Realty, Inc   1,320 
 90,156      RLJ Lodging Trust   1,791 
 5,123      RMR Group, Inc   249 
 31,992      Ryman Hospitality Properties   2,048 
 47,769   e  Sabra Healthcare REIT, Inc   1,151 
 8,188      Saul Centers, Inc   475 
 87,233   *  SBA Communications Corp   11,768 
 45,730      Select Income REIT   1,099 
 170,932      Senior Housing Properties Trust   3,494 
 18,501   e  Seritage Growth Properties   776 
 226,362      Simon Property Group, Inc   36,616 
 72,261      SL Green Realty Corp   7,645 
 354,302      Spirit Realty Capital, Inc   2,625 
 33,773   *  St. Joe Co   633 
 64,412   *  STAG Industrial, Inc   1,778 
 121,165      STORE Capital Corp   2,720 
 4,495      Stratus Properties, Inc   132 
 73,018      Summit Hotel Properties, Inc   1,362 
 52,001      Sun Communities, Inc   4,560 
 159,024      Sunstone Hotel Investors, Inc   2,563 
 67,688      Tanger Factory Outlet Centers, Inc   1,759 
 43,350      Taubman Centers, Inc   2,582 
 10,268   *  Tejon Ranch Co   212 
 35,329      Terreno Realty Corp   1,189 
 34,663      Tier REIT, Inc   641 
 13,643   *  Trinity Place Holdings, Inc   97 
 192,841      UDR, Inc   7,515 
 20,169      UMH Properties, Inc   344 
 119,952      Uniti Group, Inc   3,016 
 9,264      Universal Health Realty Income Trust   737 
 70,770      Urban Edge Properties   1,679 
 20,808      Urstadt Biddle Properties, Inc (Class A)   412 
 257,541      Ventas, Inc   17,894 
 709,541      VEREIT, Inc   5,776 
 125,038      Vornado Realty Trust   11,741 
 134,922      Washington Prime Group, Inc   1,129 
 55,986      Washington REIT   1,786 
 86,814      Weingarten Realty Investors   2,613 
 266,291      Welltower, Inc   19,932 
 542,082      Weyerhaeuser Co   18,160 
281

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 25,132   e  Whitestone REIT  $308 
 76,656      WP Carey, Inc   5,060 
 79,064      Xenia Hotels & Resorts, Inc   1,531 
        TOTAL REAL ESTATE   747,753 
              
RETAILING - 4.9%     
 18,290   *  1-800-FLOWERS.COM, Inc (Class A)   178 
 45,849      Aaron’s, Inc   1,784 
 51,631      Abercrombie & Fitch Co (Class A)   642 
 51,735      Advance Auto Parts, Inc   6,032 
 289,052   *  Amazon.com, Inc   279,802 
 117,400      American Eagle Outfitters, Inc   1,415 
 5,481   *,e  America’s Car-Mart, Inc   213 
 13,496   *  Asbury Automotive Group, Inc   763 
 4,073   *  At Home Group, Inc   95 
 46,431   *,e  Autonation, Inc   1,958 
 20,648   *  AutoZone, Inc   11,779 
 29,015   *  Barnes & Noble Education, Inc   308 
 40,294      Barnes & Noble, Inc   306 
 101,071      Bed Bath & Beyond, Inc   3,073 
 191,794      Best Buy Co, Inc   10,996 
 14,390   e  Big 5 Sporting Goods Corp   188 
 32,516      Big Lots, Inc   1,571 
 9,762   *  Boot Barn Holdings, Inc   69 
 21,122   e  Buckle, Inc   376 
 8,786   *  Build-A-Bear Workshop, Inc   92 
 50,175   *  Burlington Stores, Inc   4,616 
 36,625   *  Cabela’s, Inc   2,176 
 28,267      Caleres, Inc   785 
 8,124      Camping World Holdings, Inc   251 
 134,109   *  Carmax, Inc   8,457 
 10,677   *,e  Carvana Co   219 
 19,356      Cato Corp (Class A)   340 
 95,824      Chico’s FAS, Inc   903 
 12,596      Children’s Place Retail Stores, Inc   1,286 
 11,556      Citi Trends, Inc   245 
 13,169   *,e  Conn’s, Inc   252 
 11,400   *,e  Container Store Group, Inc   67 
 33,096      Core-Mark Holding Co, Inc   1,094 
 63,082      Dick’s Sporting Goods, Inc   2,513 
 10,952   e  Dillard’s, Inc (Class A)   632 
 199,992      Dollar General Corp   14,417 
 166,563   *  Dollar Tree, Inc   11,646 
 49,292      DSW, Inc (Class A)   872 
 7,236   *,e  Duluth Holdings, Inc   132 
 83,578   *  Etsy, Inc   1,254 
 87,653      Expedia, Inc   13,056 
 55,323   *  Express Parent LLC   373 
 28,194      Finish Line, Inc (Class A)   400 
 39,150   *  Five Below, Inc   1,933 
 7,526   *  Floor & Decor Holdings, Inc   295 
 94,815      Foot Locker, Inc   4,672 
282

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 25,440   *  Francesca’s Holdings Corp  $278 
 27,215   e  Fred’s, Inc (Class A)   251 
 13,967   *  FTD Cos, Inc   279 
 6,584   *  Gaia, Inc   74 
 70,099      GameStop Corp (Class A)   1,515 
 171,913      Gap, Inc   3,780 
 13,677   *  Genesco, Inc   464 
 104,369      Genuine Parts Co   9,681 
 50,651   e  GNC Holdings, Inc   427 
 14,604      Group 1 Automotive, Inc   925 
 244,899   *  Groupon, Inc   940 
 44,451      Guess?, Inc   568 
 13,840      Haverty Furniture Cos, Inc   347 
 16,994   *  Hibbett Sports, Inc   353 
 874,108      Home Depot, Inc   134,088 
 24,109      HSN, Inc   769 
 8,070   *  J. Jill, Inc   99 
 228,517   *,e  JC Penney Co, Inc   1,063 
 12,718   *  Kirkland’s, Inc   131 
 123,140      Kohl’s Corp   4,762 
 174,367      L Brands, Inc   9,397 
 9,431   *,e  Lands’ End, Inc   141 
 39,468   *  Liberty Expedia Holdings, Inc   2,132 
 299,579   *  Liberty Interactive Corp   7,352 
 53,282   *  Liberty TripAdvisor Holdings, Inc   618 
 57,912   *  Liberty Ventures   3,028 
 16,930      Lithia Motors, Inc (Class A)   1,595 
 222,202   *  LKQ Corp   7,322 
 623,892      Lowe’s Companies, Inc   48,370 
 19,294   *,e  Lumber Liquidators, Inc   483 
 221,744      Macy’s, Inc   5,153 
 18,578   *  MarineMax, Inc   363 
 83,777   *  Michaels Cos, Inc   1,552 
 23,604      Monro Muffler, Inc   985 
 25,361   *  Murphy USA, Inc   1,879 
 298,306   *  NetFlix, Inc   44,570 
 84,693   e  Nordstrom, Inc   4,051 
 21,359      Nutri/System, Inc   1,112 
 370,480      Office Depot, Inc   2,089 
 34,400   *  Ollie’s Bargain Outlet Holdings, Inc   1,465 
 64,930   *  O’Reilly Automotive, Inc   14,203 
 12,199   *  Overstock.com, Inc   199 
 17,507   *  Party City Holdco, Inc   274 
 25,707      Penske Auto Group, Inc   1,129 
 14,105      PetMed Express, Inc   573 
 59,095      Pier 1 Imports, Inc   307 
 35,694   *  Priceline.com, Inc   66,767 
 30,873   e  Rent-A-Center, Inc   362 
 24,902   *,e  RH Holdings, Inc   1,607 
 278,872      Ross Stores, Inc   16,099 
 100,020   *  Sally Beauty Holdings, Inc   2,025 
 29,918   *  Select Comfort Corp   1,062 
 8,694      Shoe Carnival, Inc   182 
283

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 24,406   *  Shutterfly, Inc  $1,159 
 49,664   e  Signet Jewelers Ltd   3,141 
 20,728      Sonic Automotive, Inc (Class A)   403 
 19,952   *,e  Sportsman’s Warehouse Holdings, Inc   108 
 477,765      Staples, Inc   4,811 
 36,113   e  Tailored Brands, Inc   403 
 401,619      Target Corp   21,001 
 78,365      Tiffany & Co   7,356 
 24,339      Tile Shop Holdings, Inc   503 
 6,790      Tilly’s, Inc   69 
 468,659      TJX Companies, Inc   33,823 
 93,478      Tractor Supply Co   5,067 
 80,088   *  TripAdvisor, Inc   3,059 
 42,898   *  Ulta Beauty, Inc   12,326 
 64,021   *  Urban Outfitters, Inc   1,187 
 17,699   *  Vitamin Shoppe, Inc   206 
 27,839   *  Wayfair, Inc   2,140 
 11,292      West Marine, Inc   145 
 62,628      Williams-Sonoma, Inc   3,037 
 1,945      Winmark Corp   251 
 11,661   *  Zumiez, Inc   144 
        TOTAL RETAILING   904,105 
              
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 3.4%     
 13,345   *,e  Acacia Communications, Inc   553 
 28,672   *  Advanced Energy Industries, Inc   1,855 
 598,249   *  Advanced Micro Devices, Inc   7,466 
 15,539   *  Alpha & Omega Semiconductor Ltd   259 
 23,188   *,e  Ambarella, Inc   1,126 
 73,241   *  Amkor Technology, Inc   716 
 263,119      Analog Devices, Inc   20,471 
 786,295      Applied Materials, Inc   32,482 
 20,849   *  Axcelis Technologies, Inc   437 
 26,991   *  AXT, Inc   171 
 290,029      Broadcom Ltd   67,591 
 49,923      Brooks Automation, Inc   1,083 
 17,924      Cabot Microelectronics Corp   1,323 
 47,258   *  Cavium, Inc   2,936 
 15,710   *  Ceva, Inc   714 
 46,452   *  Cirrus Logic, Inc   2,913 
 18,761      Cohu, Inc   295 
 70,502   *  Cree, Inc   1,738 
 4,598   *  CyberOptics Corp   95 
 236,910      Cypress Semiconductor Corp   3,234 
 28,713   *  Diodes, Inc   690 
 16,832   *  DSP Group, Inc   195 
 102,868   *  Entegris, Inc   2,258 
 59,023   *,e  First Solar, Inc   2,354 
 51,293   *  Formfactor, Inc   636 
 9,281   *  GSI Technology, Inc   73 
 8,421   *  Ichor Holdings Ltd   170 
 13,074   *,e  Impinj, Inc   636 
284

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 29,376   *  Inphi Corp  $1,008 
 96,873   *  Integrated Device Technology, Inc   2,498 
 3,429,723      Intel Corp   115,719 
 16,725      IXYS Corp   275 
 113,478      Kla-Tencor Corp   10,384 
 50,517   *  Kopin Corp   187 
 117,135      Lam Research Corp   16,566 
 90,159   *  Lattice Semiconductor Corp   600 
 29,103   *  MA-COM Technology Solutions   1,623 
 292,429      Marvell Technology Group Ltd   4,831 
 204,291      Maxim Integrated Products, Inc   9,173 
 43,500   *  MaxLinear, Inc   1,213 
 153,959      Microchip Technology, Inc   11,883 
 760,166   *  Micron Technology, Inc   22,699 
 82,939   *  Microsemi Corp   3,882 
 38,853      MKS Instruments, Inc   2,615 
 28,750      Monolithic Power Systems, Inc   2,771 
 18,167   *  Nanometrics, Inc   459 
 21,168   *,e  NeoPhotonics Corp Ltd   163 
 3,184      NVE Corp   245 
 413,489      NVIDIA Corp   59,774 
 242,139   *  NXP Semiconductors NV   26,502 
 303,061   *  ON Semiconductor Corp   4,255 
 20,605   *  PDF Solutions, Inc   339 
 46,544   *  Photronics, Inc   437 
 19,443   *  Pixelworks, Inc   89 
 20,135      Power Integrations, Inc   1,468 
 91,952   *  Qorvo, Inc   5,822 
 1,074,548      Qualcomm, Inc   59,337 
 79,664   *  Rambus, Inc   911 
 22,659   *  Rudolph Technologies, Inc   518 
 47,350   *  Semtech Corp   1,693 
 25,567   *  Sigma Designs, Inc   150 
 30,261   *  Silicon Laboratories, Inc   2,068 
 133,980      Skyworks Solutions, Inc   12,855 
 42,585   *,e  SunPower Corp   398 
 145,190      Teradyne, Inc   4,360 
 727,351      Texas Instruments, Inc   55,955 
 23,500   *  Ultra Clean Holdings   441 
 34,384   *  Veeco Instruments, Inc   958 
 77,993      Versum Materials, Inc   2,535 
 37,527   *  Xcerra Corp   367 
 180,841      Xilinx, Inc   11,632 
 35,485      Xperi Corp   1,057 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   617,185 
              
SOFTWARE & SERVICES - 12.7%     
 31,603   *  2U, Inc   1,483 
 65,506   *  8x8, Inc   953 
 32,215   *  A10 Networks, Inc   272 
 451,351      Accenture plc   55,823 
 86,241   *  ACI Worldwide, Inc   1,929 
 537,653      Activision Blizzard, Inc   30,953 
285

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 23,331   *  Actua Corp  $328 
 57,158   *  Acxiom Corp   1,485 
 359,110   *  Adobe Systems, Inc   50,793 
 122,384   *  Akamai Technologies, Inc   6,096 
 14,717   *  Alarm.com Holdings, Inc   554 
 35,272      Alliance Data Systems Corp   9,054 
 216,538   *  Alphabet, Inc (Class A)   201,311 
 219,893   *  Alphabet, Inc (Class C)   199,823 
 6,774   *  Alteryx, Inc   132 
 11,882   *  Amber Road, Inc   102 
 105,551      Amdocs Ltd   6,804 
 15,720   *  American Software, Inc (Class A)   162 
 32,146   *,e  Angie’s List, Inc   411 
 62,308   *  Ansys, Inc   7,582 
 5,867   *  Appfolio, Inc   191 
 12,607   *  Apptio, Inc   219 
 54,681   *  Aspen Technology, Inc   3,022 
 53,046   *  Atlassian Corp plc   1,866 
 150,987   *  Autodesk, Inc   15,223 
 325,423      Automatic Data Processing, Inc   33,343 
 34,946   *  Bankrate, Inc   449 
 18,304   *  Barracuda Networks, Inc   422 
 59,668   *  Bazaarvoice, Inc   295 
 11,374   *,e  Benefitfocus, Inc   413 
 20,754   *  Black Knight Financial Services, Inc   850 
 34,044      Blackbaud, Inc   2,919 
 40,135   *  Blackhawk Network Holdings, Inc   1,750 
 7,430   *  Blackline, Inc   266 
 30,473   *  Blucora, Inc   646 
 105,922      Booz Allen Hamilton Holding Co   3,447 
 29,562   *  Bottomline Technologies, Inc   759 
 56,836   *  Box, Inc   1,037 
 20,694   *  Brightcove, Inc   128 
 84,067      Broadridge Financial Solutions, Inc   6,352 
 21,331   *,e  BroadSoft, Inc   918 
 228,316      CA, Inc   7,870 
 17,838   *  CACI International, Inc (Class A)   2,231 
 202,288   *  Cadence Design Systems, Inc   6,775 
 46,299   *  Callidus Software, Inc   1,120 
 18,030   *  Carbonite, Inc   393 
 10,940   *,e  CardConnect Corp   165 
 33,955   *  Cardtronics plc   1,116 
 10,137   *  Care.com, Inc   153 
 51,951   *,e  Cars.com, Inc   1,383 
 8,028      Cass Information Systems, Inc   527 
 98,062      CDK Global, Inc   6,086 
 15,814   *  ChannelAdvisor Corp   183 
 18,077   *,e  Cimpress NV   1,709 
 110,049   *  Citrix Systems, Inc   8,758 
 9,543   *,e  Cloudera, Inc   153 
 425,087      Cognizant Technology Solutions Corp (Class A)   28,226 
 19,734   *  CommerceHub, Inc   344 
286

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 9,867   *  CommerceHub, Inc (Series A)  $172 
 28,135   *  Commvault Systems, Inc   1,588 
 137,713   *  Conduent, Inc   2,195 
 67,630      Convergys Corp   1,608 
 37,259   *  Cornerstone OnDemand, Inc   1,332 
 23,342   *  CoStar Group, Inc   6,153 
 21,523   *,e  Coupa Software, Inc   624 
 24,883      CSG Systems International, Inc   1,010 
 117,566      CSRA, Inc   3,733 
 149,101   *  Dell Technologies, Inc-VMware Inc   9,112 
 32,513   *  DHI Group, Inc   93 
 7,264   *,e  Digimarc Corp   292 
 44,464      DST Systems, Inc   2,743 
 205,734   *  DXC Technology Co   15,784 
 736,159   *  eBay, Inc   25,707 
 17,480   e  Ebix, Inc   942 
 217,881   *  Electronic Arts, Inc   23,034 
 24,127   *  Ellie Mae, Inc   2,652 
 43,380   *  Endurance International Group Holdings, Inc   362 
 20,747   *  EnerNOC, Inc   161 
 30,234   *  Envestnet, Inc   1,197 
 35,459   *  EPAM Systems, Inc   2,982 
 36,349   *  Euronet Worldwide, Inc   3,176 
 12,571   *  Everbridge, Inc   306 
 45,885   *  Everi Holdings, Inc   334 
 44,094      EVERTEC, Inc   763 
 9,749   *  EXA Corp   135 
 23,720   *  ExlService Holdings, Inc   1,318 
 1,697,976   *  Facebook, Inc   256,360 
 22,237      Fair Isaac Corp   3,100 
 238,484      Fidelity National Information Services, Inc   20,367 
 127,712   *,e  FireEye, Inc   1,943 
 61,509   *  First American Corp   2,668 
 267,680   *  First Data Corp   4,872 
 154,285   *  Fiserv, Inc   18,875 
 37,675   *  Five9, Inc   811 
 66,686   *  FleetCor Technologies, Inc   9,617 
 7,582      Forrester Research, Inc   297 
 107,542   *  Fortinet, Inc   4,026 
 63,540   *  Gartner, Inc   7,848 
 97,664      Genpact Ltd   2,718 
 25,984   *,e  Gigamon, Inc   1,022 
 110,277      Global Payments, Inc   9,960 
 5,647   *  Global Sources Ltd   113 
 88,947   *  Glu Mobile, Inc   222 
 56,861   *  GoDaddy, Inc   2,412 
 42,541   *,e  Gogo, Inc   490 
 61,868   *,e  GrubHub, Inc   2,697 
 22,127   *  GTT Communications, Inc   700 
 13,242   *  Guidance Software, Inc   88 
 53,780   *  Guidewire Software, Inc   3,695 
 17,956      Hackett Group, Inc   278 
 34,799   *  Hortonworks, Inc   448 
287

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 24,272   *  HubSpot, Inc  $1,596 
 50,709   *  IAC/InterActiveCorp   5,235 
 24,295   *  Imperva, Inc   1,163 
 24,668   *  Information Services Group, Inc   101 
 15,324   *  Instructure, Inc   452 
 59,207   *  Internap Network Services Corp   217 
 624,950      International Business Machines Corp   96,136 
 177,075      Intuit, Inc   23,517 
 33,493      j2 Global, Inc   2,850 
 56,176      Jack Henry & Associates, Inc   5,835 
 9,177   *  Leaf Group Ltd   72 
 102,955      Leidos Holdings, Inc   5,322 
 50,961   *  Limelight Networks, Inc   147 
 19,090   *  Liquidity Services, Inc   121 
 40,701   *  Liveperson, Inc   448 
 37,856      LogMeIn, Inc   3,956 
 50,334   *  Manhattan Associates, Inc   2,419 
 18,418      Mantech International Corp (Class A)   762 
 685,160      MasterCard, Inc (Class A)   83,213 
 24,371   *  Match Group, Inc   424 
 46,282      MAXIMUS, Inc   2,899 
 46,865   *  Meet Group, Inc   237 
 5,458,007      Microsoft Corp   376,220 
 6,844   *  MicroStrategy, Inc (Class A)   1,312 
 26,600   *,e  MINDBODY, Inc   724 
 22,456   *  Mitek Systems, Inc   189 
 40,466   *  MobileIron, Inc   245 
 14,483   *  Model N, Inc   193 
 22,389   *  MoneyGram International, Inc   386 
 29,292      Monotype Imaging Holdings, Inc   536 
 10,573   *  MuleSoft, Inc   264 
 3,876      NCI, Inc (Class A)   82 
 39,172   *  NeuStar, Inc (Class A)   1,306 
 21,173   *  New Relic, Inc   911 
 46,584      NIC, Inc   883 
 208,409   *  Nuance Communications, Inc   3,628 
 25,143   *,e  Nutanix, Inc   507 
 8,277   *  Okta, Inc   189 
 10,112   *,e  Ominto, Inc   154 
 2,091,658      Oracle Corp   104,876 
 163,222   *,e  Pandora Media, Inc   1,456 
 7,197   *,e  Park City Group, Inc   87 
 233,691      Paychex, Inc   13,306 
 35,482   *  Paycom Software, Inc   2,427 
 18,614   *  Paylocity Holding Corp   841 
 823,717   *  PayPal Holdings, Inc   44,209 
 26,462      Pegasystems, Inc   1,544 
 25,493   *  Perficient, Inc   475 
 30,646   *  Planet Payment, Inc   101 
 13,412   *  Presidio, Inc   192 
 34,559      Progress Software Corp   1,068 
 30,883   *  Proofpoint, Inc   2,682 
288

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 19,034   *  PROS Holdings, Inc  $521 
 83,533   *  PTC, Inc   4,604 
 22,395   *  Q2 Holdings, Inc   827 
 7,729      QAD, Inc (Class A)   248 
 22,512   *  Qualys, Inc   918 
 20,643   *  QuinStreet, Inc   86 
 53,361   *  Quotient Technology, Inc   614 
 14,504   *,e  Rapid7, Inc   244 
 18,038   *  RealNetworks, Inc   78 
 42,414   *  RealPage, Inc   1,525 
 129,227   *  Red Hat, Inc   12,373 
 6,528      Reis, Inc   139 
 8,995   *  Rightside Group Ltd   96 
 44,988   *  RingCentral, Inc   1,644 
 27,091   *  Rocket Fuel, Inc   75 
 13,437   *  Rosetta Stone, Inc   145 
 27,990   *  Rubicon Project, Inc   144 
 151,223      Sabre Corp   3,292 
 491,581   *  salesforce.com, Inc   42,571 
 31,653      Science Applications International Corp   2,197 
 4,599   *,e  SecureWorks Corp   43 
 121,339   *  ServiceNow, Inc   12,862 
 46,932   *  ServiceSource International LLC   182 
 13,499   *  Shutterstock, Inc   595 
 29,419   *  Silver Spring Networks, Inc   332 
 99,932   *  Splunk, Inc   5,685 
 12,246   *  SPS Commerce, Inc   781 
 160,838   *  Square, Inc   3,773 
 124,783      SS&C Technologies Holdings, Inc   4,793 
 11,437   *,e  Stamps.com, Inc   1,771 
 6,538   *  StarTek, Inc   80 
 29,262   *  Sykes Enterprises, Inc   981 
 448,958      Symantec Corp   12,683 
 30,290   *  Synchronoss Technologies, Inc   498 
 108,732   *  Synopsys, Inc   7,930 
 23,254      Syntel, Inc   394 
 43,485   *  Tableau Software, Inc   2,664 
 72,053   *  Take-Two Interactive Software, Inc   5,287 
 12,153   *  TechTarget, Inc   126 
 20,400   *  TeleNav, Inc   165 
 10,054      TeleTech Holdings, Inc   410 
 94,061   *  Teradata Corp   2,774 
 84,788      TiVo Corp   1,581 
 131,554      Total System Services, Inc   7,663 
 12,457   *  Trade Desk, Inc   624 
 88,235      Travelport Worldwide Ltd   1,214 
 44,667   *  TrueCar, Inc   890 
 6,516   *,e  Tucows, Inc   349 
 44,947   *,e  Twilio, Inc   1,308 
 485,172   *  Twitter, Inc   8,670 
 25,016   *  Tyler Technologies, Inc   4,395 
 20,605   *  Ultimate Software Group, Inc   4,328 
 38,674   *,e  Unisys Corp   495 
289

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 4,914   *  Upland Software, Inc  $108 
 116,489   *  Vantiv, Inc   7,378 
 13,785   *  Varonis Systems, Inc   513 
 21,489   *  Vasco Data Security International   308 
 45,384   *  Verint Systems, Inc   1,847 
 63,973   *  VeriSign, Inc   5,947 
 32,131   *,e  VirnetX Holding Corp   146 
 19,953   *  Virtusa Corp   587 
 1,345,134      Visa, Inc (Class A)   126,147 
 52,087   *,e  VMware, Inc (Class A)   4,554 
 26,700   *  WebMD Health Corp (Class A)   1,566 
 27,749   *  Website Pros, Inc   702 
 342,867      Western Union Co   6,532 
 28,569   *  WEX, Inc   2,979 
 94,609   *  Workday, Inc   9,177 
 16,351   *  Workiva, Inc   311 
 16,652   *  Xactly Corp   261 
 19,259   *  XO Group, Inc   339 
 56,028   *  Yelp, Inc   1,682 
 8,394   *,e  Yext, Inc   112 
 69,807   *  Zendesk, Inc   1,939 
 38,071   *  Zillow Group, Inc   1,859 
 76,096   *  Zillow Group, Inc (Class C)   3,729 
 42,422   *  Zix Corp   241 
 549,506   *  Zynga, Inc   2,000 
        TOTAL SOFTWARE & SERVICES   2,330,638 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 5.3%     
 80,518   *,e  3D Systems Corp   1,506 
 35,649      Adtran, Inc   736 
 16,323   *  Aerohive Networks, Inc   82 
 11,056   *  Agilysys, Inc   112 
 6,547   *,e  Akoustis Technologies, Inc   57 
 216,967      Amphenol Corp (Class A)   16,016 
 21,094   *  Anixter International, Inc   1,650 
 3,795,863      Apple, Inc   546,680 
 13,189   *,e  Applied Optoelectronics, Inc   815 
 38,358   *  Arista Networks, Inc   5,746 
 130,734   *  ARRIS International plc   3,663 
 64,172   *  Arrow Electronics, Inc   5,032 
 24,161   *  Avid Technology, Inc   127 
 90,328      Avnet, Inc   3,512 
 34,410      AVX Corp   562 
 20,748      Badger Meter, Inc   827 
 7,316      Bel Fuse, Inc (Class B)   181 
 30,293      Belden CDT, Inc   2,285 
 35,867   *  Benchmark Electronics, Inc   1,158 
 293,621      Brocade Communications Systems, Inc   3,703 
 26,799   *  CalAmp Corp   545 
 28,887   *  Calix, Inc   198 
 111,192      CDW Corp   6,953 
 101,053   *  Ciena Corp   2,528 
290

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 3,646,608      Cisco Systems, Inc  $114,139 
 8,964   *  Clearfield, Inc   118 
 60,271      Cognex Corp   5,117 
 17,685   *  Coherent, Inc   3,979 
 137,846   *  CommScope Holding Co, Inc   5,242 
 16,237      Comtech Telecommunications Corp   308 
 15,682   *  Control4 Corp   307 
 658,816      Corning, Inc   19,797 
 16,854   e  CPI Card Group, Inc   48 
 29,620   *  Cray, Inc   545 
 23,637      CTS Corp   511 
 27,847      Daktronics, Inc   268 
 53,560   e  Diebold, Inc   1,500 
 18,652   *  Digi International, Inc   189 
 39,659      Dolby Laboratories, Inc (Class A)   1,942 
 13,533   *  Eastman Kodak Co   123 
 33,587   *  EchoStar Corp (Class A)   2,039 
 21,493   *  Electro Scientific Industries, Inc   177 
 33,181   *  Electronics for Imaging, Inc   1,572 
 18,982      EMCORE Corp   202 
 9,278   *  ePlus, Inc   687 
 79,396   *  Extreme Networks, Inc   732 
 47,119   *  F5 Networks, Inc   5,987 
 26,560   *  Fabrinet   1,133 
 12,851   *  FARO Technologies, Inc   486 
 80,146   *  Finisar Corp   2,082 
 124,310   *,e  Fitbit, Inc   660 
 98,415      Flir Systems, Inc   3,411 
 58,321   *  Harmonic, Inc   306 
 87,178      Harris Corp   9,509 
 1,205,588      Hewlett Packard Enterprise Co   20,001 
 1,232,182      HP, Inc   21,539 
 43,712   *  II-VI, Inc   1,499 
 21,661   *  Immersion Corp   197 
 103,799   *  Infinera Corp   1,108 
 25,682   *  Insight Enterprises, Inc   1,027 
 25,007      InterDigital, Inc   1,933 
 13,652   *  Intevac, Inc   152 
 26,098   *  IPG Photonics Corp   3,787 
 18,293   *  Iteris, Inc   114 
 24,355   *  Itron, Inc   1,650 
 129,452      Jabil Circuit, Inc   3,779 
 270,845      Juniper Networks, Inc   7,551 
 32,485   *  Kemet Corp   416 
 133,968   *  Keysight Technologies, Inc   5,215 
 21,162   *  Kimball Electronics, Inc   382 
 64,648   *  Knowles Corp   1,094 
 10,929   *  KVH Industries, Inc   104 
 16,323      Littelfuse, Inc   2,693 
 43,856   *  Lumentum Holdings, Inc   2,502 
 24,482   *  Maxwell Technologies, Inc   147 
 2,255      Mesa Laboratories, Inc   323 
 25,950      Methode Electronics, Inc   1,069 
291

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 47,549   *,e  Microvision, Inc  $101 
 118,807      Motorola, Inc   10,305 
 12,096      MTS Systems Corp   627 
 7,937   *  Napco Security Technologies, Inc   75 
 76,957      National Instruments Corp   3,095 
 87,292   *  NCR Corp   3,565 
 197,722      NetApp, Inc   7,919 
 23,887   *  Netgear, Inc   1,029 
 64,175   *  Netscout Systems, Inc   2,208 
 23,522   *  Novanta, Inc   847 
 119,078   *,e  Oclaro, Inc   1,112 
 12,827   *  OSI Systems, Inc   964 
 64,634   *  Palo Alto Networks, Inc   8,649 
 14,228      Park Electrochemical Corp   262 
 8,216      PC Connection, Inc   222 
 6,945   *  PC Mall, Inc   130 
 24,496      Plantronics, Inc   1,281 
 24,305   *  Plexus Corp   1,278 
 67,260   *  Pure Storage, Inc   862 
 15,117   *  Quantenna Communications, Inc   287 
 20,253   *  Quantum Corp   158 
 26,581   *  Radisys Corp   100 
 12,852   *  Rogers Corp   1,396 
 52,368   *  Sanmina Corp   1,995 
 17,777   *  Scansource, Inc   716 
 49,410   *  ShoreTel, Inc   287 
 37,508   *  Sonus Networks, Inc   279 
 37,383   *  Stratasys Ltd   871 
 27,221   *  Super Micro Computer, Inc   671 
 25,356   *  Synaptics, Inc   1,311 
 20,598      SYNNEX Corp   2,471 
 9,938      Systemax, Inc   187 
 25,262   *  Tech Data Corp   2,551 
 181,166   *  Trimble Navigation Ltd   6,462 
 66,124   *  TTM Technologies, Inc   1,148 
 16,794   *,e  Ubiquiti Networks, Inc   873 
 30,250      Universal Display Corp   3,305 
 28,420   *  USA Technologies, Inc   148 
 80,817   *  VeriFone Systems, Inc   1,463 
 38,380   *,e  Viasat, Inc   2,541 
 165,919   *  Viavi Solutions, Inc   1,747 
 97,366      Vishay Intertechnology, Inc   1,616 
 9,508   *  Vishay Precision Group, Inc   164 
 211,383      Western Digital Corp   18,729 
 166,502      Xerox Corp   4,784 
 37,981   *  Zebra Technologies Corp (Class A)   3,818 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   970,681 
              
TELECOMMUNICATION SERVICES - 2.0%     
 4,475,522      AT&T, Inc   168,861 
 7,918      ATN International, Inc   542 
 27,406   *  Boingo Wireless, Inc   410 
292

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 389,983   e  CenturyLink, Inc  $9,313 
 29,963   *  Cincinnati Bell, Inc   586 
 29,776      Cogent Communications Group, Inc   1,194 
 36,273   e  Consolidated Communications Holdings, Inc   779 
 16,551   *  Fairpoint Communications, Inc   259 
 861,250   e  Frontier Communications Corp   999 
 19,551   *  General Communication, Inc (Class A)   716 
 316,146   *,e  Globalstar, Inc   673 
 5,442   *  Hawaiian Telcom Holdco, Inc   136 
 10,513      IDT Corp (Class B)   151 
 23,607   *  Intelsat S.A.   72 
 60,764   *,e  Iridium Communications, Inc   672 
 214,380   *  Level 3 Communications, Inc   12,713 
 16,622   *  Lumos Networks Corp   297 
 13,047   *  Ooma, Inc   104 
 44,329   *  Orbcomm, Inc   501 
 7,472   *,e  pdvWireless, Inc   174 
 33,638      Shenandoah Telecom Co   1,033 
 14,641      Spok Holdings, Inc   259 
 458,152   *  Sprint Corp   3,761 
 6,234   *  Straight Path Communications, Inc   1,120 
 70,982      Telephone & Data Systems, Inc   1,970 
 213,699   *  T-Mobile US, Inc   12,954 
 9,529   *  US Cellular Corp   365 
 2,971,248      Verizon Communications, Inc   132,696 
 143,849   *  Vonage Holdings Corp   941 
 134,628   e  Windstream Holdings, Inc   522 
 134,804   *  Zayo Group Holdings, Inc   4,166 
        TOTAL TELECOMMUNICATION SERVICES   358,939 
              
TRANSPORTATION - 2.1%     
 37,928   *  Air Transport Services Group, Inc   826 
 87,182      Alaska Air Group, Inc   7,825 
 9,285      Allegiant Travel Co   1,259 
 3,647      Amerco, Inc   1,335 
 323,670      American Airlines Group, Inc   16,287 
 19,331      Arkansas Best Corp   398 
 16,948   *  Atlas Air Worldwide Holdings, Inc   884 
 53,941   *,e  Avis Budget Group, Inc   1,471 
 101,699      CH Robinson Worldwide, Inc   6,985 
 22,612      Copa Holdings S.A. (Class A)   2,646 
 23,634      Costamare, Inc   173 
 8,672   *  Covenant Transportation Group, Inc   152 
 640,135      CSX Corp   34,926 
 14,173   *  Daseke, Inc   158 
 491,120      Delta Air Lines, Inc   26,393 
 28,818   *,e  Eagle Bulk Shipping, Inc   136 
 21,041   *  Echo Global Logistics, Inc   419 
 131,087      Expeditors International of Washington, Inc   7,404 
 179,983      FedEx Corp   39,116 
 20,963      Forward Air Corp   1,117 
 6,118   *  Genco Shipping & Trading Ltd   58 
 43,633   *  Genesee & Wyoming, Inc (Class A)   2,984 
293

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 38,821   *  Hawaiian Holdings, Inc  $1,823 
 33,759      Heartland Express, Inc   703 
 40,162   *,e  Hertz Global Holdings, Inc   462 
 24,562   *  Hub Group, Inc (Class A)   942 
 62,864      J.B. Hunt Transport Services, Inc   5,745 
 240,228   *  JetBlue Airways Corp   5,484 
 76,739      Kansas City Southern Industries, Inc   8,031 
 39,101   *  Kirby Corp   2,614 
 52,635   e  Knight Transportation, Inc   1,950 
 30,053      Landstar System, Inc   2,573 
 55,800      Macquarie Infrastructure Co LLC   4,375 
 17,739      Marten Transport Ltd   486 
 32,238      Matson, Inc   968 
 65,499   *,e  Navios Maritime Holdings, Inc   90 
 210,464      Norfolk Southern Corp   25,613 
 44,365      Old Dominion Freight Line   4,225 
 6,136      Park-Ohio Holdings Corp   234 
 29,335   *  Radiant Logistics, Inc   158 
 20,933   *  Roadrunner Transportation Services Holdings, Inc   152 
 38,669      Ryder System, Inc   2,783 
 33,371   *  Safe Bulkers, Inc   76 
 18,094   *  Saia, Inc   928 
 22,723      Schneider National, Inc   508 
 40,927   *  Scorpio Bulkers, Inc   291 
 37,279      Skywest, Inc   1,309 
 408,274      Southwest Airlines Co   25,370 
 50,261   *  Spirit Airlines, Inc   2,596 
 52,616   *,e  Swift Transportation Co, Inc   1,394 
 587,736      Union Pacific Corp   64,010 
 204,251   *  United Continental Holdings, Inc   15,370 
 501,676      United Parcel Service, Inc (Class B)   55,480 
 6,297      Universal Truckload Services, Inc   94 
 34,414      Werner Enterprises, Inc   1,010 
 79,581   *  XPO Logistics, Inc   5,143 
 23,809   *  YRC Worldwide, Inc   265 
        TOTAL TRANSPORTATION   396,207 
              
UTILITIES - 3.2%     
 479,673      AES Corp   5,329 
 36,666      Allete, Inc   2,628 
 167,911      Alliant Energy Corp   6,745 
 176,178      Ameren Corp   9,632 
 358,177      American Electric Power Co, Inc   24,883 
 27,280      American States Water Co   1,293 
 129,601      American Water Works Co, Inc   10,102 
 128,721      Aqua America, Inc   4,286 
 8,231   *  AquaVenture Holdings Ltd   125 
 4,909      Artesian Resources Corp   185 
 92,825   *  Atlantic Power Corp   223 
 73,408      Atmos Energy Corp   6,089 
 39,059      Avangrid, Inc   1,724 
 45,672      Avista Corp   1,939 
294

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 38,044      Black Hills Corp  $2,567 
 15,011   *  Cadiz, Inc   203 
 35,650      California Water Service Group   1,312 
 261,683   *  Calpine Corp   3,541 
 313,330      Centerpoint Energy, Inc   8,579 
 11,318      Chesapeake Utilities Corp   848 
 203,302      CMS Energy Corp   9,403 
 8,405      Connecticut Water Service, Inc   467 
 221,266      Consolidated Edison, Inc   17,883 
 10,961      Consolidated Water Co, Inc   136 
 4,925      Delta Natural Gas Co, Inc   150 
 456,419      Dominion Resources, Inc   34,975 
 129,943      DTE Energy Co   13,747 
 507,601      Duke Energy Corp   42,430 
 80,776   *  Dynegy, Inc   668 
 230,716      Edison International   18,040 
 29,460      El Paso Electric Co   1,523 
 130,509      Entergy Corp   10,019 
 230,411      Eversource Energy   13,988 
 669,403      Exelon Corp   24,145 
 321,107      FirstEnergy Corp   9,364 
 9,378      Genie Energy Ltd   72 
 6,410   e  Global Water Resources, Inc   63 
 156,336      Great Plains Energy, Inc   4,578 
 79,361      Hawaiian Electric Industries, Inc   2,570 
 37,120      Idacorp, Inc   3,168 
 140,621      MDU Resources Group, Inc   3,684 
 26,004      MGE Energy, Inc   1,673 
 11,759      Middlesex Water Co   466 
 57,732      National Fuel Gas Co   3,224 
 62,202      New Jersey Resources Corp   2,469 
 340,163      NextEra Energy, Inc   47,667 
 234,601      NiSource, Inc   5,950 
 21,777      Northwest Natural Gas Co   1,303 
 35,112      NorthWestern Corp   2,143 
 218,288      NRG Energy, Inc   3,759 
 24,011      NRG Yield, Inc (Class A)   410 
 47,061      NRG Yield, Inc (Class C)   828 
 145,050      OGE Energy Corp   5,046 
 37,630      ONE Gas, Inc   2,627 
 28,629      Ormat Technologies, Inc   1,680 
 27,545      Otter Tail Corp   1,091 
 50,689      Pattern Energy Group, Inc   1,208 
 369,672      PG&E Corp   24,535 
 80,807      Pinnacle West Capital Corp   6,882 
 57,664      PNM Resources, Inc   2,206 
 64,616      Portland General Electric Co   2,952 
 497,808      PPL Corp   19,245 
 367,412      Public Service Enterprise Group, Inc   15,802 
 11,616   *  Pure Cycle Corp   90 
 4,887   *  RGC Resources, Inc   138 
 95,839      SCANA Corp   6,422 
 182,555      Sempra Energy   20,583 
295

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
 12,005      SJW Corp  $590 
 58,642      South Jersey Industries, Inc   2,004 
 727,241      Southern Co   34,820 
 34,400      Southwest Gas Corp   2,513 
 7,544   e  Spark Energy, Inc   142 
 33,979      Spire, Inc   2,370 
 65,781      TerraForm Global, Inc   332 
 58,758      TerraForm Power, Inc   705 
 125,523      UGI Corp   6,077 
 10,272      Unitil Corp   496 
 61,078      Vectren Corp   3,569 
 175,637      Vistra Energy Corp   2,949 
 15,334   *,e  Vivint Solar, Inc   90 
 229,497      WEC Energy Group, Inc   14,087 
 103,016      Westar Energy, Inc   5,462 
 36,819      WGL Holdings, Inc   3,072 
 369,160      Xcel Energy, Inc   16,937 
 9,006      York Water Co   314 
        TOTAL UTILITIES   580,234 
        TOTAL COMMON STOCKS   18,338,873 
        (Cost $9,079,867)     
              
RIGHTS / WARRANTS - 0.0%     
DIVERSIFIED FINANCIALS - 0.0%     
 1,387   m  Emergent Capital, Inc    0 
        TOTAL DIVERSIFIED FINANCIALS    0 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%     
 10,743   m  Forest Laboratories, Inc CVR   10 
 4,045   m  Omthera Pharmaceuticals, Inc   2 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   12 
              
SOFTWARE & SERVICES - 0.0%     
 19,206   m  Gerber Scientific, Inc    0 
        TOTAL SOFTWARE & SERVICES    0 
              
        TOTAL RIGHTS / WARRANTS   12 
        (Cost $1)     

 

PRINCIPAL        ISSUER  RATE  MATURITY
DATE
   
SHORT-TERM INVESTMENTS - 1.3%        
GOVERNMENT AGENCY DEBT - 0.1%             
$9,300,000       Federal Home Loan Bank (FHLB)   0.400%  07/03/17   9,300 
         TOTAL GOVERNMENT AGENCY DEBT           9,300 
296

COLLEGE RETIREMENT EQUITIES FUND - Equity Index Account

 

SHARES      COMPANY  VALUE
(000)
 
INVESTMENTS IN REGISTERED INVESTMENT COMPANIES - 1.2% 
 213,283,503   c  State Street Navigator Securities Lending Government Money Market Portfolio  $213,284 
              
        TOTAL INVESTMENTS IN REGISTERED INVESTMENT COMPANIES   213,284 
              
        TOTAL SHORT-TERM INVESTMENTS   222,584 
        (Cost $222,583)     
        TOTAL INVESTMENTS - 101.1%   18,561,469 
        (Cost $9,302,451)     
        OTHER ASSETS & LIABILITIES, NET - (1.1)%   (194,025)
        NET ASSETS - 100.0%  $18,367,444 
           

 

        Abbreviation(s):
        CVR Contingent Value Right
        ETF Exchange Traded Fund
        REIT Real Estate Investment Trust
        SPDR Standard & Poor’s Depositary Receipts
           
    *   Non-income producing
    b   In bankruptcy
    c   Investments made with cash collateral received from securities on loan.
    d   All or a portion of these securities have been segregated to cover margin requirements on open futures contracts.
    e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $206,542,000.
    m   Indicates a security that has been deemed illiquid.
         
        Cost amounts are in thousands.
297

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

COLLEGE RETIREMENT EQUITIES FUND

BOND MARKET ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2017

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
BANK LOAN OBLIGATIONS - 0.7%
                        
CAPITAL GOODS - 0.0%
$1,321,693   i  Avolon TLB Borrower  Luxembourg Sarl   3.960%  03/21/22  $1,329 
 987,987   i  TransDigm, Inc   4.300   05/14/22   986 
        TOTAL CAPITAL GOODS           2,315 
                      
COMMERCIAL & PROFESSIONAL SERVICES - 0.0%
 2,550,000   i  American Airlines, Inc   3.660   12/15/23   2,550 
 1,887,926      TransUnion LLC   3.726   04/09/23   1,899 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES       4,449 
                      
CONSUMER DURABLES & APPAREL - 0.0%
 896,655   i  Hanesbrands, Inc   3.730   04/29/22   903 
 99,500   i  Sabre GLBL, Inc   3.980   02/22/24   100 
        TOTAL CONSUMER DURABLES & APPAREL           1,003 
                      
CONSUMER SERVICES - 0.1%
 497,710   i  1011778 BC / New Red Fin   3.550   02/17/24   496 
 1,536,131   i  Boyd Gaming Corp   3.690   09/15/23   1,539 
 3,695,109      Hilton Worldwide Finance LLC   3.216   10/25/23   3,705 
 719,567   i  KFC Holding Co   3.210   06/16/23   722 
        TOTAL CONSUMER SERVICES           6,462 
                      
DIVERSIFIED FINANCIALS - 0.0%
 199,500   i  Mallinckrodt International Finance S.A.   4.050   09/24/24   199 
        TOTAL DIVERSIFIED FINANCIALS           199 
                      
ENERGY - 0.0%
 1,720,000   i  California Resources Corp   11.534   12/31/21   1,815 
 2,493,750   i  Dynegy, Inc   4.480   02/07/24   2,487 
        TOTAL ENERGY           4,302 
                      
FOOD & STAPLES RETAILING - 0.0%
 3,193,298   i  Albertsons LLC   3.976   08/25/21   3,150 
 209,000   i  Albertsons LLC   4.251   06/22/23   206 
        TOTAL FOOD & STAPLES RETAILING           3,356 
                      
FOOD, BEVERAGE & TOBACCO - 0.0%
 1,995,013   i  B&G Foods, Inc   3.480   11/02/22   2,003 
 909,091   i  Post Holdings, Inc   3.470   05/24/24   910 
 1,090,909   i  Post Holdings, Inc   3.470   05/24/24   1,092 
        TOTAL FOOD, BEVERAGE & TOBACCO           4,005 
                      
HEALTH CARE EQUIPMENT & SERVICES - 0.2%
 3,470,509   i  Capsugel Holdings US, Inc   4.230   07/31/21   3,469 
 1,496,256   i  Change Healthcare Holdings LLC   3.980   03/01/24   1,496 
 272,164   i  CHS/Community Health Systems   4.200   01/27/21   272 
298

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$1,649,000   i  DaVita HealthCare Partners, Inc   3.980%  06/24/21  $1,651 
 1,990,000   i  Envision Healthcare Corp   4.300   12/01/23   1,998 
 5,486,250   i  Tennessee Merger Sub, Inc   3.980   02/06/24   5,437 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES               14,323 
                      
MATERIALS - 0.1%
 1,995,000   i  American Builders & Contractors Supply Co, Inc   3.730   10/31/23   1,999 
 2,118,716   i  Berry Plastics Corp   3.620   10/01/22   2,120 
 1,496,250   i  Berry Plastics Corp   3.520   01/19/24   1,496 
 497,500   i  Ineos US Finance LLC   3.980   04/01/24   498 
 2,766,717   i  Minerals Technologies, Inc   3.470   02/14/24   2,774 
 1,423,029   i  PolyOne Corp   3.380   11/12/22   1,432 
        TOTAL MATERIALS               10,319 
                      
MEDIA - 0.2%
 984,375   i  CSC Holdings LLC   3.460   07/17/25   977 
 1,800,000   i  Lions Gate Entertainment Corp   4.230   12/08/23   1,810 
 4,173,575   i  MTL Publishing LLC   3.720   08/21/23   4,173 
 1,067,273   i  Nexstar Broadcasting, Inc   3.943   01/17/24   1,069 
 105,192   i  Nexstar Broadcasting, Inc   4.240   01/17/24   105 
 4,125,000   i  Outfront Media Capital LLC   3.460   03/18/24   4,137 
 3,029,946   i  Virgin Media Bristol LLC   3.910   01/31/25   3,029 
        TOTAL MEDIA               15,300 
                      
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.0%
 124,688   i  Endo Luxembourg Finance I Co Sarl   5.500   04/29/24   126 
 3,506,227   i  Quintiles IMS, Inc   3.230   03/07/24   3,523 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES         3,649 
                      
REAL ESTATE - 0.0%
 3,920,000   i  DTZ US Borrower LLC   4.450   11/04/21   3,912 
 1,654,063      MGM Growth Properties   3.476   04/25/23   1,656 
        TOTAL REAL ESTATE               5,568 
                      
RETAILING - 0.0%
 1,967,107   i  Avis Budget Car Rental LLC   3.300   03/15/22   1,961 
 2,822,848   i  PetSmart, Inc   4.220   03/11/22   2,622 
        TOTAL RETAILING               4,583 
                      
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.0%
 1,488,750   i  Versum Materials, Inc   3.800   09/29/23   1,501 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT         1,501 
                      
SOFTWARE & SERVICES - 0.1%
 1,697,794   i  CSRA, Inc   2.750   11/30/23   1,701 
 4,419,152   i  First Data Corp   3.466   07/08/22   4,410 
 87,881   i  SS&C European Holdings SARL   3.480   07/08/22   88 
 1,448,879   i  SS&C Technologies, Inc   3.480   07/08/22   1,454 
        TOTAL SOFTWARE & SERVICES               7,653 
                      
TECHNOLOGY HARDWARE & EQUIPMENT - 0.0%
 1,074,325   i  CommScope, Inc   3.296   12/29/22   1,077 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT       1,077 
299

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
TRANSPORTATION - 0.0%
$249,375   i  Vouvray US Finance, LLC   4.230%  03/11/24  $248 
        TOTAL TRANSPORTATION               248 
                      
        TOTAL BANK LOAN OBLIGATIONS           90,312 
        (Cost $90,390)             
                      
BONDS - 97.3%
                
CORPORATE BONDS - 35.9%
                
AUTOMOBILES & COMPONENTS - 0.5%
EUR1,750,000   g  Adient Global Holdings Ltd   3.500   08/15/24   2,026 
$590,000   g  Adient Global Holdings Ltd   4.875   08/15/26   592 
 960,000   g  Allison Transmission, Inc   5.000   10/01/24   984 
 9,650,000   g  BMW US Capital LLC   2.000   04/11/21   9,562 
EUR500,000      Daimler AG.   0.875   01/12/21   583 
$4,050,000      Delphi Automotive plc   3.150   11/19/20   4,137 
 3,175,000      Delphi Automotive plc   4.400   10/01/46   3,171 
 4,600,000      Ford Motor Co   4.346   12/08/26   4,737 
EUR1,200,000   g  Gates Global LLC   5.750   07/15/22   1,397 
$6,950,000      General Motors Co   6.600   04/01/36   8,060 
 3,350,000      General Motors Co   6.250   10/02/43   3,726 
 1,925,000      General Motors Co   6.750   04/01/46   2,286 
 2,425,000   g  Hyundai Capital America   2.600   03/19/20   2,431 
 3,850,000   g  Hyundai Capital America   2.550   04/03/20   3,840 
 200,000   g,o  IHO Verwaltungs GmbH   4.125   09/15/21   204 
 200,000   g,o  IHO Verwaltungs GmbH   4.500   09/15/23   203 
EUR400,000   g,o  IHO Verwaltungs GmbH   3.750   09/15/26   476 
$8,675,000      Magna International, Inc   3.625   06/15/24   8,908 
 600,000   g  Schaeffler Finance BV   4.750   05/15/23   618 
 1,000,000      Tenneco, Inc   5.000   07/15/26   1,011 
 175,000   g  ZF North America Capital, Inc   4.500   04/29/22   184 
 2,000,000   g  ZF North America Capital, Inc   4.750   04/29/25   2,110 
        TOTAL AUTOMOBILES & COMPONENTS               61,246 
                      
BANKS - 6.2%
 3,075,000   g,i  Akbank TAS   7.200   03/16/27   3,218 
 6,000,000      Australia & New Zealand Banking Group Ltd   2.625   05/19/22   6,007 
 4,000,000   g  Banco de Bogota S.A.   6.250   05/12/26   4,260 
 3,300,000   g  Banco Inbursa S.A. Institucion de Banca Multiple   4.375   04/11/27   3,301 
 3,825,000   g  Banco Nacional de Comercio Exterior SNC   4.375   10/14/25   3,959 
 5,000,000   g  Bank Nederlandse Gemeenten   2.625   04/28/21   5,110 
 8,525,000      Bank of America Corp   6.000   09/01/17   8,584 
 15,900,000      Bank of America Corp   2.151   11/09/20   15,827 
 10,200,000      Bank of America Corp   3.875   08/01/25   10,553 
 200,000      Bank of America Corp   4.250   10/22/26   206 
 28,050,000      Bank of America Corp   3.248   10/21/27   27,109 
 10,825,000   i  Bank of America Corp   3.824   01/20/28   11,014 
 500,000   g  Bank of Montreal   2.500   01/11/22   503 
 25,000,000      Bank of Nova Scotia   2.125   09/11/19   25,070 
300

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$5,450,000   g  Bank of Tokyo-Mitsubishi UFJ Ltd   2.350%  09/08/19  $5,466 
 7,100,000   g  Bank of Tokyo-Mitsubishi UFJ Ltd   3.250   09/08/24   7,185 
 6,700,000      Barclays plc   3.650   03/16/25   6,669 
 500,000      Barclays plc   5.200   05/12/26   527 
 3,300,000   g  BNP Paribas S.A.   3.800   01/10/24   3,436 
 3,225,000   g  BPCE S.A.   3.000   05/22/22   3,254 
 3,200,000      Branch Banking & Trust Co   2.300   10/15/18   3,220 
 6,000,000   g  Caixa Economica Federal   3.500   11/07/22   5,775 
 11,850,000      Capital One Bank USA NA   2.950   07/23/21   11,936 
 4,500,000      Capital One Bank USA NA   3.375   02/15/23   4,538 
 50,075,000      Citigroup, Inc   3.200   10/21/26   48,704 
 10,850,000   i  Citigroup, Inc   3.887   01/10/28   11,028 
 175,000      Citigroup, Inc   4.650   07/30/45   191 
 10,000,000   i  Citigroup, Inc   5.350   12/30/49   10,225 
 2,775,000      Citizens Bank NA   2.550   05/13/21   2,777 
 4,625,000      Citizens Bank NA   2.650   05/26/22   4,612 
 6,500,000      Compass Bank   2.875   06/29/22   6,474 
 6,875,000      Cooperatieve Centrale Raiffeisen-Boerenleenbank BA   3.950   11/09/22   7,179 
 13,700,000      Cooperatieve Rabobank UA   2.500   01/19/21   13,780 
 29,900,000      Cooperatieve Rabobank UA   3.750   07/21/26   29,898 
 4,825,000   g  Credit Agricole S.A.   2.500   04/15/19   4,872 
 5,500,000   g  Credit Agricole S.A.   2.375   07/01/21   5,478 
 3,800,000   g  DBS Group Holdings Ltd   2.246   07/16/19   3,809 
EUR200,000      Deutsche Bank AG.   1.250   09/08/21   233 
$3,125,000      Discover Bank   3.100   06/04/20   3,184 
 4,875,000      Discover Bank   3.200   08/09/21   4,965 
EUR1,000,000      FCE Bank plc   1.134   02/10/22   1,152 
$2,300,000   g  GTH Finance BV   7.250   04/26/23   2,537 
 7,350,000   g  HSBC Bank plc   4.125   08/12/20   7,761 
 20,525,000      HSBC Holdings plc   2.650   01/05/22   20,456 
 13,075,000   i  HSBC Holdings plc   3.262   03/13/23   13,321 
 250,000      HSBC Holdings plc   4.250   08/18/25   257 
 11,825,000      HSBC Holdings plc   3.900   05/25/26   12,207 
 3,825,000      HSBC Holdings plc   4.375   11/23/26   3,969 
 6,450,000   i  HSBC Holdings plc   4.041   03/13/28   6,682 
 100,000      HSBC Holdings plc   5.250   03/14/44   115 
 3,300,000   i  HSBC Holdings plc   6.000   12/30/49   3,412 
 5,000,000      HSBC USA, Inc   1.625   01/16/18   5,002 
 100,000      Huntington National Bank   2.875   08/20/20   102 
 3,150,000      Industrial & Commercial Bank of China Ltd   2.452   10/20/21   3,098 
EUR250,000      Intesa Sanpaolo S.p.A   3.500   01/17/22   320 
$12,925,000      JPMorgan Chase & Co   2.750   06/23/20   13,144 
 16,725,000      JPMorgan Chase & Co   2.295   08/15/21   16,626 
 10,850,000   i  JPMorgan Chase & Co   2.776   04/25/23   10,868 
 4,850,000      JPMorgan Chase & Co   2.700   05/18/23   4,796 
 20,400,000      JPMorgan Chase & Co   3.200   06/15/26   20,163 
 21,275,000      JPMorgan Chase & Co   2.950   10/01/26   20,535 
 200,000      JPMorgan Chase & Co   4.950   06/01/45   223 
 3,750,000   i  JPMorgan Chase & Co   5.150   12/30/49   3,861 
 2,700,000      KeyBank NA   2.500   12/15/19   2,727 
 5,000,000      KeyBank NA   2.400   06/09/22   4,975 
 3,325,000      Lloyds Banking Group plc   3.000   01/11/22   3,357 
 4,475,000   g  Macquarie Bank Ltd   2.600   06/24/19   4,513 
 9,950,000      Manufacturers & Traders Trust Co   2.100   02/06/20   9,964 
301

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$13,050,000      Mitsubishi UFJ Financial Group, Inc   3.677%  02/22/27  $13,470 
AUD500,000      National Australia Bank Ltd   5.000   03/11/24   421 
$13,600,000      National Australia Bank Ltd   2.500   07/12/26   12,837 
 2,325,000   g  PKO Finance AB   4.630   09/26/22   2,482 
 10,400,000      PNC Bank NA   2.200   01/28/19   10,456 
 11,475,000      PNC Bank NA   2.250   07/02/19   11,559 
 17,000,000      PNC Bank NA   2.600   07/21/20   17,239 
 10,950,000      PNC Bank NA   2.700   11/01/22   10,952 
 17,395,000      PNC Bank NA   2.950   01/30/23   17,572 
 6,000,000      PNC Financial Services Group, Inc   3.900   04/29/24   6,267 
 4,900,000   g,i  Rabobank Nederland NV   11.000   12/30/49   5,691 
 12,000,000      Royal Bank of Canada   1.200   09/19/17   11,995 
 40,000,000      Royal Bank of Canada   1.875   02/05/20   39,784 
 15,000,000   g  Skandinaviska Enskilda Banken AB   1.375   05/29/18   14,966 
 13,100,000   g  Skandinaviska Enskilda Banken AB   2.625   11/17/20   13,259 
SEK19,000,000      Skandinaviska Enskilda Banken AB   1.500   12/15/21   2,345 
$3,800,000      Sumitomo Mitsui Banking Corp   2.500   07/19/18   3,828 
 6,650,000      Sumitomo Mitsui Banking Corp   2.450   01/16/20   6,691 
 4,025,000      Sumitomo Mitsui Banking Corp   3.650   07/23/25   4,185 
 13,875,000      Sumitomo Mitsui Financial Group, Inc   2.442   10/19/21   13,815 
 6,850,000      SunTrust Banks, Inc   2.900   03/03/21   6,954 
 5,700,000      SunTrust Banks, Inc   2.750   05/01/23   5,681 
 2,725,000      Synchrony Bank   3.000   06/15/22   2,712 
 5,000,000      Toronto-Dominion Bank   1.450   09/06/18   4,990 
 13,700,000      Toronto-Dominion Bank   2.500   12/14/20   13,857 
 2,350,000   i  Toronto-Dominion Bank   3.625   09/15/31   2,332 
 2,500,000   g,i  Turkiye Garanti Bankasi AS.   6.125   05/24/27   2,475 
 2,775,000   g  Turkiye Is Bankasi   5.500   04/21/19   2,847 
 2,100,000   g  Turkiye Is Bankasi   5.500   04/21/22   2,108 
 4,950,000   g  Turkiye Is Bankasi   6.125   04/25/24   5,017 
 5,700,000      UnionBanCal Corp   3.500   06/18/22   5,871 
 17,650,000      US Bank NA   2.800   01/27/25   17,483 
 10,000,000   g  Westpac Banking Corp   1.850   11/26/18   10,052 
AUD600,000      Westpac Banking Corp   5.250   11/21/23   512 
$11,475,000      Westpac Banking Corp   2.700   08/19/26   11,005 
 8,475,000   i  Westpac Banking Corp   4.322   11/23/31   8,687 
 600,000   g  Yapi ve Kredi Bankasi AS.   5.850   06/21/24   596 
        TOTAL BANKS               853,272 
                      
CAPITAL GOODS - 1.1%
 3,600,000   g  Adani Ports & Special Economic Zone Ltd   3.950   01/19/22   3,685 
 6,850,000   g  Adani Ports & Special Economic Zone Ltd   4.000   07/30/27   6,777 
 7,175,000      Air Lease Corp   3.875   04/01/21   7,484 
GBP1,000,000      BAE Systems plc   4.125   06/08/22   1,458 
EUR800,000      Bayer AG.   1.875   01/25/21   965 
$2,075,000      Eaton Corp   4.000   11/02/32   2,149 
 250,000      Eaton Corp   4.150   11/02/42   256 
 4,350,000      Embraer Netherlands Finance BV   5.400   02/01/27   4,546 
 3,300,000      General Electric Co   5.250   12/06/17   3,354 
 4,075,000      General Electric Co   4.125   10/09/42   4,295 
GBP650,000      Glencore Finance Europe S.A.   6.500   02/27/19   916 
$1,500,000   g  Gold Fields Orogen Holding BVI Ltd   4.875   10/07/20   1,507 
 1,300,000   g  Huntington Ingalls Industries, Inc   5.000   12/15/21   1,345 
302

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
EUR1,000,000      Illinois Tool Works, Inc   1.250%  05/22/23  $1,177 
$4,250,000      Ingersoll-Rand Luxembourg Finance S.A.   3.550   11/01/24   4,353 
EUR600,000      Johnson Controls International plc   1.000   09/15/23   677 
$8,350,000      Lockheed Martin Corp   2.500   11/23/20   8,464 
 5,200,000      Lockheed Martin Corp   3.550   01/15/26   5,389 
 6,375,000   g  Molex Electronic Technologies LLC   2.878   04/15/20   6,420 
 9,825,000   g  Molex Electronic Technologies LLC   3.900   04/15/25   10,017 
 5,600,000   g  Myriad International Holdings BV   4.850   07/06/27   5,614 
 4,925,000   g  Parker-Hannifin Corp   3.250   03/01/27   4,976 
 4,925,000      Rockwell Automation, Inc   2.050   03/01/20   4,928 
 8,725,000      Rockwell Collins, Inc   3.500   03/15/27   8,848 
 1,000,000      Rockwell Collins, Inc   4.350   04/15/47   1,048 
 3,375,000      Roper Technologies, Inc   3.800   12/15/26   3,468 
 11,300,000   g  Siemens Financieringsmaatschappij NV   1.700   09/15/21   11,037 
 11,300,000   g  Siemens Financieringsmaatschappij NV   2.350   10/15/26   10,670 
 350,000   g  Stena AB   7.000   02/01/24   325 
 2,075,000      Textron, Inc   3.875   03/01/25   2,132 
 12,950,000      Timken Co   3.875   09/01/24   12,901 
 5,200,000   g  TSMC Global Ltd   1.625   04/03/18   5,190 
 8,225,000      United Technologies Corp   3.750   11/01/46   8,066 
        TOTAL CAPITAL GOODS               154,437 
                      
COMMERCIAL & PROFESSIONAL SERVICES - 0.6%
 1,250,000      AECOM   5.750   10/15/22   1,308 
 4,875,000      AECOM   5.875   10/15/24   5,302 
 13,800,000   g  Daimler Finance North America LLC   2.200   10/30/21   13,631 
 3,250,000      Equifax, Inc   3.250   06/01/26   3,176 
 10,290,000      Republic Services, Inc   3.800   05/15/18   10,472 
 11,102,000      Republic Services, Inc   3.550   06/01/22   11,554 
 6,625,000      Republic Services, Inc   3.200   03/15/25   6,678 
 8,171,000      Republic Services, Inc   2.900   07/01/26   8,012 
 2,000,000      United Rentals North America, Inc   4.625   07/15/23   2,076 
 9,650,000      Waste Management, Inc   2.900   09/15/22   9,875 
 1,850,000      Waste Management, Inc   2.400   05/15/23   1,825 
 2,000,000      Waste Management, Inc   3.900   03/01/35   2,067 
 2,225,000      Waste Management, Inc   4.100   03/01/45   2,335 
EUR850,000   g  XPO Logistics, Inc   5.750   06/15/21   1,010 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES         79,321 
                      
CONSUMER DURABLES & APPAREL - 0.2%
$3,000,000      Lennar Corp   4.500   11/15/19   3,113 
 3,000,000      Lennar Corp   4.750   04/01/21   3,180 
 3,850,000      Newell Rubbermaid, Inc   3.150   04/01/21   3,941 
 2,875,000      Newell Rubbermaid, Inc   3.900   11/01/25   2,977 
 6,175,000      Newell Rubbermaid, Inc   4.200   04/01/26   6,557 
 500,000      PulteGroup, Inc   4.250   03/01/21   521 
 1,000,000      PulteGroup, Inc   5.500   03/01/26   1,065 
 6,900,000      PVH Corp   4.500   12/15/22   7,124 
 2,625,000      Whirlpool Corp   3.700   03/01/23   2,716 
EUR1,125,000      Whirlpool Finance Luxembourg Sarl   1.250   11/02/26   1,273 
        TOTAL CONSUMER DURABLES & APPAREL         32,467 
303

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
CONSUMER SERVICES - 1.2%
$2,165,000   g  1011778 BC ULC / New Red Finance Inc   4.250%  05/15/24  $2,151 
 1,425,000      ADT Corp   6.250   10/15/21   1,551 
 1,390,000      ADT Corp   3.500   07/15/22   1,344 
 11,000,000      Amherst College   4.100   11/01/45   11,652 
EUR1,430,000   g  Aramark International Finance Sarl   3.125   04/01/25   1,699 
$2,500,000   g  Aramark Services, Inc   5.000   04/01/25   2,641 
 2,000,000      Aramark Services, Inc   4.750   06/01/26   2,075 
 3,400,000   g  Arcos Dorados Holdings, Inc   5.875   04/04/27   3,409 
 2,000,000      Duke University   3.199   10/01/38   1,930 
 16,000,000      George Washington University   3.545   09/15/46   14,803 
 1,000,000   g  Hilton Domestic Operating Co, Inc   4.250   09/01/24   1,014 
 2,250,000   g  Hilton Worldwide Finance LLC   4.625   04/01/25   2,320 
 1,840,000   g  International Game Technology   5.625   02/15/20   1,956 
 1,610,000   g  International Game Technology   6.250   02/15/22   1,759 
 1,610,000   g  International Game Technology   6.500   02/15/25   1,767 
EUR1,250,000      International Game Technology plc   4.750   02/15/23   1,556 
$5,000,000      Johns Hopkins University   4.083   07/01/53   5,348 
 750,000      MGM Resorts International   4.625   09/01/26   758 
 8,000,000      President and Fellows of Harvard College   3.529   10/01/31   8,408 
 14,250,000      President and Fellows of Harvard College   3.619   10/01/37   14,848 
 10,000,000   g  Prime Security Services Borrower LLC   9.250   05/15/23   10,867 
 10,000,000      Princeton University   3.840   07/01/48   10,769 
 2,500,000      Scientific Games International, Inc   6.250   09/01/20   2,478 
 750,000      Scientific Games International, Inc   10.000   12/01/22   822 
 6,475,000      Service Corp International   5.375   05/15/24   6,839 
 3,600,000   g  ServiceMaster Co LLC   5.125   11/15/24   3,726 
 15,000,000      Smith College   4.620   07/01/45   17,318 
 6,600,000      Trustees of Dartmouth College   3.474   06/01/46   6,578 
 21,000,000      University of Chicago   4.151   10/01/45   21,268 
        TOTAL CONSUMER SERVICES               163,654 
                      
DIVERSIFIED FINANCIALS - 4.0%
 500,000      AerCap Ireland Capital Ltd   5.000   10/01/21   541 
 2,800,000      Aircastle Ltd   4.125   05/01/24   2,846 
 2,000,000      American Express Centurion Bank   6.000   09/13/17   2,016 
 13,050,000      American Express Credit Corp   2.700   03/03/22   13,159 
 9,775,000      American Express Credit Corp   3.300   05/03/27   9,746 
 3,800,000   g,i  Banco Mercantil del Norte S.A.   5.750   10/04/31   3,792 
 4,125,000      Bank of New York Mellon Corp   5.450   05/15/19   4,395 
 10,500,000      Bank of New York Mellon Corp   2.500   04/15/21   10,582 
 11,550,000   g  Bayer US Finance LLC   2.375   10/08/19   11,643 
 8,100,000   g  Bayer US Finance LLC   3.375   10/08/24   8,294 
 300,000   g,i  BBVA Bancomer S.A.   5.350   11/12/29   303 
 10,525,000      Berkshire Hathaway, Inc   3.125   03/15/26   10,644 
 10,050,000      Capital One Financial Corp   3.050   03/09/22   10,128 
 9,800,000      Capital One Financial Corp   3.750   03/09/27   9,766 
 7,175,000      Credit Suisse   2.300   05/28/19   7,223 
 250,000      Credit Suisse   3.625   09/09/24   258 
 7,175,000   g  Credit Suisse Group AG.   3.574   01/09/23   7,357 
 3,900,000   g  Credit Suisse Group AG.   4.282   01/09/28   4,032 
EUR1,250,000      Credit Suisse Group Funding Guernsey Ltd   1.250   04/14/22   1,457 
$7,700,000      Credit Suisse Group Funding Guernsey Ltd   3.800   06/09/23   7,937 
 10,250,000      Credit Suisse Group Funding Guernsey Ltd   3.750   03/26/25   10,357 
304

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$100,000      Discover Financial Services   3.950%  11/06/24  $102 
 7,325,000   g  EDP Finance BV   3.625   07/15/24   7,270 
 3,340,000      Ford Motor Credit Co LLC   6.625   08/15/17   3,358 
 4,975,000      Ford Motor Credit Co LLC   2.425   06/12/20   4,970 
 13,600,000      Ford Motor Credit Co LLC   3.157   08/04/20   13,858 
 16,975,000      Ford Motor Credit Co LLC   3.200   01/15/21   17,228 
 35,825,000      Ford Motor Credit Co LLC   4.134   08/04/25   36,446 
 4,978,000      GE Capital International Funding Co   4.418   11/15/35   5,424 
 1,432,000   g  General Electric Capital Corp   5.875   01/14/38   1,856 
 108,000      General Electric Capital Corp   6.875   01/10/39   157 
 17,625,000      General Motors Financial Co, Inc   3.200   07/06/21   17,821 
 5,000,000      General Motors Financial Co, Inc   3.450   04/10/22   5,081 
 6,500,000      General Motors Financial Co, Inc   3.950   04/13/24   6,591 
 300,000      General Motors Financial Co, Inc   4.300   07/13/25   306 
EUR1,250,000      General Motors Financial International BV   1.875   10/15/19   1,481 
$11,075,000      Goldman Sachs Group, Inc   2.375   01/22/18   11,124 
EUR700,000      Goldman Sachs Group, Inc   2.000   07/27/23   840 
$13,575,000      Goldman Sachs Group, Inc   3.500   01/23/25   13,724 
 3,600,000   i  Goldman Sachs Group, Inc   3.691   06/05/28   3,615 
 7,675,000      Goldman Sachs Group, Inc   4.800   07/08/44   8,523 
 100,000      Goldman Sachs Group, Inc   5.150   05/22/45   111 
 14,925,000      Goldman Sachs Group, Inc   4.750   10/21/45   16,537 
 3,800,000   g  GrupoSura Finance S.A.   5.500   04/29/26   4,090 
 1,725,000      Icahn Enterprises LP   5.875   02/01/22   1,766 
 2,000,000   g  ICICI Bank Ltd   3.500   03/18/20   2,033 
 2,000,000      ICICI Bank Ltd   3.125   08/12/20   2,014 
 8,400,000      International Lease Finance Corp   3.875   04/15/18   8,528 
 3,200,000      International Lease Finance Corp   5.875   04/01/19   3,399 
 5,000,000      International Lease Finance Corp   5.875   08/15/22   5,644 
 250,000      Jefferies Group, Inc   6.450   06/08/27   286 
 1,625,000      Legg Mason, Inc   2.700   07/15/19   1,639 
 2,400,000      Legg Mason, Inc   3.950   07/15/24   2,435 
EUR850,000   g  Lincoln Finance Ltd   6.875   04/15/21   1,039 
$2,050,000   g  LUKOIL International Finance BV   4.563   04/24/23   2,096 
 2,975,000   g  LUKOIL International Finance BV   4.750   11/02/26   3,048 
 21,500,000      Morgan Stanley   1.875   01/05/18   21,526 
 8,925,000      Morgan Stanley   2.750   05/19/22   8,922 
 24,800,000      Morgan Stanley   3.700   10/23/24   25,453 
 23,475,000      Morgan Stanley   3.125   07/27/26   22,826 
 8,225,000      Morgan Stanley   3.625   01/20/27   8,278 
 3,800,000      National Rural Utilities Cooperative Finance Corp   10.375   11/01/18   4,226 
 6,500,000   g  Nederlandse Waterschapsbank NV   1.875   03/13/19   6,530 
 5,000,000   g  Nederlandse Waterschapsbank NV   1.875   04/14/22   4,939 
 6,500,000      Raymond James Financial, Inc   4.950   07/15/46   7,064 
 14,950,000      Shire Acquisitions Investments Ireland DAC   3.200   09/23/26   14,620 
 6,625,000      TD Ameritrade Holding Corp   3.300   04/01/27   6,609 
 6,800,000   g  UBS Group Funding Jersey Ltd   2.950   09/24/20   6,946 
 11,600,000   g  UBS Group Funding Jersey Ltd   2.650   02/01/22   11,574 
 9,775,000      Unilever Capital Corp   2.900   05/05/27   9,644 
 21,000,000      Wells Fargo & Co   2.100   07/26/21   20,720 
 10,825,000      Wells Fargo & Co   3.069   01/24/23   10,969 
EUR500,000      Wells Fargo & Co   1.375   10/26/26   565 
$10,450,000   i  Wells Fargo & Co   3.584   05/22/28   10,559 
        TOTAL DIVERSIFIED FINANCIALS               552,886 
305

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
ENERGY - 2.9%
$2,375,000      AmeriGas Partners LP   5.625%  05/20/24  $2,452 
 2,050,000      AmeriGas Partners LP   5.875   08/20/26   2,101 
 4,200,000      Anadarko Petroleum Corp   5.550   03/15/26   4,694 
 4,150,000      Ashland, Inc   4.750   08/15/22   4,342 
 16,500,000      BP Capital Markets plc   1.375   05/10/18   16,466 
 13,300,000      BP Capital Markets plc   2.315   02/13/20   13,421 
 7,500,000      BP Capital Markets plc   3.588   04/14/27   7,611 
 699,000   g  California Resources Corp   8.000   12/15/22   442 
 478,000      California Resources Corp   6.000   11/15/24   248 
 7,050,000   g  Cenovus Energy, Inc   4.250   04/15/27   6,717 
 6,500,000   g  Cenovus Energy, Inc   5.400   06/15/47   6,075 
 5,475,000      Concho Resources, Inc   5.500   04/01/23   5,626 
 2,375,000   g  Crestwood Midstream Partners LP   5.750   04/01/25   2,369 
 6,875,000      Devon Energy Corp   4.750   05/15/42   6,674 
 6,450,000      Ecopetrol S.A.   5.375   06/26/26   6,708 
 3,250,000      Enbridge Energy Partners LP   5.200   03/15/20   3,446 
 3,375,000      Enbridge Energy Partners LP   4.375   10/15/20   3,552 
 6,800,000      Enbridge Energy Partners LP   5.875   10/15/25   7,758 
 5,475,000      EnCana Corp   3.900   11/15/21   5,580 
 7,375,000      EnLink Midstream Partners LP   4.850   07/15/26   7,674 
 3,525,000      Enterprise Products Operating LLC   2.850   04/15/21   3,565 
 10,450,000      Enterprise Products Operating LLC   3.750   02/15/25   10,762 
 5,125,000      Enterprise Products Operating LLC   3.700   02/15/26   5,220 
 4,775,000      Enterprise Products Operating LLC   4.450   02/15/43   4,752 
 6,425,000      Enterprise Products Operating LLC   4.850   03/15/44   6,820 
 1,075,000      Enterprise Products Operating LLC   5.100   02/15/45   1,182 
 2,250,000      Exterran Partners LP   6.000   10/01/22   2,182 
 4,750,000      Exxon Mobil Corp   2.222   03/01/21   4,781 
 1,250,000      Ferrellgas Partners LP   6.500   05/01/21   1,181 
 750,000      Ferrellgas Partners LP   6.750   01/15/22   707 
 3,300,000   g  GS Caltex Corp   3.000   06/12/22   3,277 
 3,400,000      Hess Corp   4.300   04/01/27   3,321 
 2,739,000      Husky Energy, Inc   3.950   04/15/22   2,831 
 2,825,000      Kinder Morgan, Inc   9.000   02/01/19   3,116 
EUR1,000,000      Kinder Morgan, Inc   2.250   03/16/27   1,152 
$2,215,000      Kinder Morgan, Inc   5.300   12/01/34   2,283 
 4,850,000      Kinder Morgan, Inc   5.400   09/01/44   4,898 
 1,400,000      Magellan Midstream Partners LP   4.250   09/15/46   1,369 
 5,030,000      Marathon Oil Corp   2.700   06/01/20   4,985 
 4,075,000      Marathon Petroleum Corp   3.625   09/15/24   4,118 
 2,625,000      Noble Energy, Inc   5.625   05/01/21   2,700 
 900,000      Noble Energy, Inc   3.900   11/15/24   925 
 10,850,000      ONE Gas, Inc   2.070   02/01/19   10,874 
 3,500,000      ONE Gas, Inc   3.610   02/01/24   3,649 
 5,125,000   g  Pertamina Persero PT   4.300   05/20/23   5,301 
 2,000,000      Petrobras Global Finance BV   8.375   05/23/21   2,239 
 12,340,000      Petrobras Global Finance BV   6.125   01/17/22   12,741 
 750,000      Petrobras Global Finance BV   7.250   03/17/44   737 
 3,400,000      Petroleos Mexicanos   5.500   02/04/19   3,550 
 6,750,000      Petroleos Mexicanos   6.375   02/04/21   7,305 
 1,500,000      Petroleos Mexicanos   4.875   01/24/22   1,543 
306

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$825,000   g  Petroleos Mexicanos   5.375%  03/13/22  $868 
EUR375,000      Petroleos Mexicanos   1.875   04/21/22   423 
$11,000,000      Petroleos Mexicanos   1.950   12/20/22   10,924 
 5,885,000      Petroleos Mexicanos   2.000   12/20/22   5,847 
 9,000,000      Petroleos Mexicanos   3.500   01/30/23   8,626 
 3,900,000      Petroleos Mexicanos   4.500   01/23/26   3,791 
 1,775,000   g  Petroleos Mexicanos   6.500   03/13/27   1,907 
 4,500,000      Petroleos Mexicanos   6.500   06/02/41   4,468 
 4,180,000      Petroleos Mexicanos   5.500   06/27/44   3,695 
 1,800,000      Petroleos Mexicanos   6.750   09/21/47   1,818 
 5,225,000      Phillips 66   4.875   11/15/44   5,605 
 614,000      Pioneer Natural Resources Co   7.500   01/15/20   691 
 8,675,000      Pioneer Natural Resources Co   3.450   01/15/21   8,912 
 6,850,000      Pioneer Natural Resources Co   4.450   01/15/26   7,203 
 2,940,000      QEP Resources, Inc   5.375   10/01/22   2,830 
 1,250,000      Questar Market Resources, Inc   6.875   03/01/21   1,297 
 3,335,000   g  Range Resources Corp   5.000   08/15/22   3,277 
 1,200,000      Regency Energy Partners LP   4.500   11/01/23   1,245 
 2,000,000   g  Reliance Holdings USA   4.500   10/19/20   2,107 
 2,375,000   g  Reliance Holdings USA   5.400   02/14/22   2,601 
 9,875,000   g  Sabine Pass Liquefaction LLC   4.200   03/15/28   9,978 
 6,000,000      Shell International Finance BV   2.375   08/21/22   5,965 
 4,875,000      Shell International Finance BV   3.250   05/11/25   4,973 
EUR500,000      Shell International Finance BV   1.875   09/15/25   612 
$6,825,000      Shell International Finance BV   4.000   05/10/46   6,753 
 5,000,000      Southwestern Energy Co   4.100   03/15/22   4,659 
 2,075,000      Statoil ASA   1.200   01/17/18   2,072 
 5,300,000      Statoil ASA   2.450   01/17/23   5,250 
 250,000      Suncor Energy, Inc   3.600   12/01/24   256 
 10,800,000      Sunoco Logistics Partners Operations LP   5.350   05/15/45   10,599 
 600,000   g  Targa Resources Partners LP   5.125   02/01/25   618 
 2,000,000      Tesoro Corp   5.125   04/01/24   2,115 
 8,100,000   g  Tesoro Corp   5.125   12/15/26   8,810 
EUR600,000      Total Capital International S.A.   2.500   03/25/26   771 
$3,400,000      TransCanada PipeLines Ltd   5.850   03/15/36   4,189 
 2,750,000   i  TransCanada PipeLines Ltd   3.392   05/15/67   2,612 
 2,500,000      Vale Overseas Ltd   6.250   08/10/26   2,697 
 2,760,000      Vale Overseas Ltd   6.875   11/21/36   2,960 
 350,000      WPX Energy, Inc   8.250   08/01/23   380 
 2,400,000      WPX Energy, Inc   5.250   09/15/24   2,280 
 400,000   g  YPF S.A.   8.500   03/23/21   445 
 3,500,000   g  YPF S.A.   8.500   07/28/25   3,943 
        TOTAL ENERGY               399,094 
                      
FOOD & STAPLES RETAILING - 0.7%
 2,000,000   g  CK Hutchison International 16 Ltd   1.875   10/03/21   1,941 
 19,700,000      CVS Health Corp   2.800   07/20/20   20,055 
 15,925,000      CVS Health Corp   2.125   06/01/21   15,729 
 19,030,000      CVS Health Corp   3.875   07/20/25   19,788 
 15,950,000      CVS Health Corp   2.875   06/01/26   15,459 
 150,000      CVS Health Corp   5.125   07/20/45   172 
 4,900,000      Ingles Markets, Inc   5.750   06/15/23   4,820 
 2,275,000      SYSCO Corp   2.500   07/15/21   2,281 
EUR1,000,000      SYSCO Corp   1.250   06/23/23   1,155 
307

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$1,600,000      SYSCO Corp   3.250%  07/15/27  $1,574 
 11,775,000      Walgreens Boots Alliance, Inc   3.800   11/18/24   12,231 
 5,125,000      Walgreens Boots Alliance, Inc   3.450   06/01/26   5,115 
        TOTAL FOOD & STAPLES RETAILING               100,320 
                      
FOOD, BEVERAGE & TOBACCO - 1.0%
 4,916,000   g  Anadolu Efes Biracilik Ve Malt Sanayii AS.   3.375   11/01/22   4,740 
 13,700,000      Anheuser-Busch InBev Finance, Inc   2.650   02/01/21   13,882 
 10,275,000      Anheuser-Busch InBev Finance, Inc   3.300   02/01/23   10,579 
 8,125,000      Anheuser-Busch InBev Finance, Inc   3.650   02/01/26   8,372 
 10,450,000      Anheuser-Busch InBev Finance, Inc   4.900   02/01/46   11,811 
 14,775,000      Anheuser-Busch InBev Worldwide, Inc   2.500   07/15/22   14,752 
 5,575,000      Anheuser-Busch InBev Worldwide, Inc   4.950   01/15/42   6,301 
EUR1,250,000      BAT Netherlands Finance BV   2.375   01/19/23   1,538 
$9,750,000      Constellation Brands, Inc   6.000   05/01/22   11,120 
 3,000,000   g  Corp Lindley S.A.   4.625   04/12/23   3,120 
EUR840,000      Heineken NV   2.875   08/04/25   1,089 
$8,425,000   g  Heineken NV   3.500   01/29/28   8,551 
 3,600,000   g  Heineken NV   4.350   03/29/47   3,755 
 150,000      JM Smucker Co   4.375   03/15/45   157 
 200,000      Kraft Heinz Foods Co   5.200   07/15/45   217 
 213,000   g  Lamb Weston Holdings, Inc   4.625   11/01/24   219 
 210,000   g  Lamb Weston Holdings, Inc   4.875   11/01/26   218 
 4,115,000      Mead Johnson Nutrition Co   4.900   11/01/19   4,367 
 3,650,000      Mead Johnson Nutrition Co   3.000   11/15/20   3,744 
 18,075,000      PepsiCo, Inc   3.450   10/06/46   17,009 
 6,850,000   g  Pernod-Ricard S.A.   4.250   07/15/22   7,305 
 1,600,000      Philip Morris International, Inc   6.375   05/16/38   2,113 
 6,650,000      Tyson Foods, Inc   3.550   06/02/27   6,688 
        TOTAL FOOD, BEVERAGE & TOBACCO               141,647 
                      
HEALTH CARE EQUIPMENT & SERVICES - 0.9%
 400,000      Becton Dickinson & Co   4.685   12/15/44   412 
 13,025,000      Becton Dickinson and Co   3.700   06/06/27   13,045 
 7,400,000      Cardinal Health, Inc   3.410   06/15/27   7,368 
 1,175,000      CHS/Community Health Systems   6.250   03/31/23   1,213 
 3,800,000      Covidien International Finance S.A.   3.200   06/15/22   3,928 
 26,300,000      Express Scripts Holding Co   3.400   03/01/27   25,385 
 2,060,000      HCA, Inc   6.500   02/15/20   2,248 
 4,575,000      HCA, Inc   5.875   03/15/22   5,073 
 2,500,000      HCA, Inc   4.500   02/15/27   2,572 
 4,125,000      HCA, Inc   5.500   06/15/47   4,269 
 6,055,000      Johns Hopkins Health System Corp   3.837   05/15/46   6,059 
 200,000      Laboratory Corp of America Holdings   3.600   02/01/25   203 
EUR500,000      McKesson Corp   1.500   11/17/25   570 
$10,450,000      McKesson Corp   4.883   03/15/44   11,383 
 9,625,000      Medtronic, Inc   4.625   03/15/45   10,848 
 5,000,000      New York and Presbyterian Hospital   3.563   08/01/36   4,859 
 2,000,000      Tenet Healthcare Corp   4.375   10/01/21   2,030 
 2,700,000      Thermo Fisher Scientific, Inc   2.400   02/01/19   2,720 
 3,100,000      Thermo Fisher Scientific, Inc   3.300   02/15/22   3,207 
 4,325,000      Thermo Fisher Scientific, Inc   3.150   01/15/23   4,400 
 4,000,000      Thermo Fisher Scientific, Inc   2.950   09/19/26   3,890 
308

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$10,995,000      Zimmer Holdings, Inc   3.550%  04/01/25  $11,107 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES               126,789 
                      
HOUSEHOLD & PERSONAL PRODUCTS - 0.1%
 7,175,000      Clorox Co   3.800   11/15/21   7,571 
 4,900,000      Clorox Co   3.500   12/15/24   5,069 
 4,525,000      Ecolab, Inc   1.450   12/08/17   4,522 
 1,300,000      Ecolab, Inc   3.700   11/01/46   1,226 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS               18,388 
                      
INSURANCE - 1.5%
 6,250,000      ACE INA Holdings, Inc   2.875   11/03/22   6,357 
 1,925,000      Aetna, Inc   6.625   06/15/36   2,600 
 3,250,000      Aetna, Inc   4.125   11/15/42   3,314 
 5,500,000      Allstate Corp   3.280   12/15/26   5,583 
 8,500,000   i  Allstate Corp   5.750   08/15/53   9,307 
 2,700,000      American Financial Group, Inc   3.500   08/15/26   2,675 
 7,825,000      American International Group, Inc   2.300   07/16/19   7,867 
 11,850,000      American International Group, Inc   3.300   03/01/21   12,191 
EUR550,000      American International Group, Inc   1.500   06/08/23   638 
$2,500,000      American International Group, Inc   3.750   07/10/25   2,547 
 5,500,000      Aon plc   3.500   06/14/24   5,608 
 6,150,000      Aon plc   3.875   12/15/25   6,427 
 19,230,000      Children’s Hospital Medic   4.268   05/15/44   20,545 
 1,390,000      Cigna Corp   5.125   06/15/20   1,507 
 6,900,000      Cigna Corp   4.500   03/15/21   7,362 
 3,525,000      CNA Financial Corp   3.950   05/15/24   3,657 
 7,500,000   g,i  Cranberry RE Ltd   3.048   07/13/20   7,490 
 5,575,000   g  Five Corners Funding Trust   4.419   11/15/23   5,986 
 1,350,000      Hartford Financial Services Group, Inc   4.300   04/15/43   1,375 
 4,900,000      Humana, Inc   3.850   10/01/24   5,093 
 2,750,000      Humana, Inc   3.950   03/15/27   2,866 
 3,300,000   g  Liberty Mutual Group, Inc   4.250   06/15/23   3,510 
EUR1,250,000      Liberty Mutual Group, Inc   2.750   05/04/26   1,524 
$400,000      Marsh & McLennan Cos, Inc   4.800   07/15/21   435 
 1,600,000      Marsh & McLennan Cos, Inc   3.500   06/03/24   1,651 
 1,365,000      Marsh & McLennan Cos, Inc   3.500   03/10/25   1,401 
 3,225,000      Mercury General Corp   4.400   03/15/27   3,269 
 4,325,000      MetLife, Inc   3.600   11/13/25   4,486 
 8,050,000      Prudential Financial, Inc   7.375   06/15/19   8,874 
 3,000,000   g  Prudential Funding LLC   6.750   09/15/23   3,579 
 2,425,000   g  Swiss Re Treasury US Corp   2.875   12/06/22   2,435 
 4,250,000      Travelers Cos, Inc   5.800   05/15/18   4,403 
 4,775,000      Travelers Cos, Inc   4.000   05/30/47   4,883 
 6,650,000      UnitedHealth Group, Inc   3.750   07/15/25   7,005 
 3,050,000      UnitedHealth Group, Inc   3.100   03/15/26   3,066 
 4,675,000      UnitedHealth Group, Inc   3.450   01/15/27   4,807 
 13,075,000      UnitedHealth Group, Inc   4.250   04/15/47   13,917 
 6,750,000      WellPoint, Inc   3.125   05/15/22   6,875 
 500,000      Willis Group Holdings plc   5.750   03/15/21   551 
 2,400,000      WR Berkley Corp   5.375   09/15/20   2,598 
EUR500,000   i  XLIT Ltd   3.250   06/29/47   565 
        TOTAL INSURANCE               200,829 
309

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
MATERIALS - 1.4%
$2,950,000      Agrium, Inc   3.375%  03/15/25  $2,951 
 2,925,000      Agrium, Inc   4.125   03/15/35   2,914 
 11,200,000   g  Air Liquide Finance S.A.   1.750   09/27/21   10,903 
 6,630,000      Air Products & Chemicals, Inc   4.375   08/21/19   6,973 
 3,349,000      Albemarle Corp   5.450   12/01/44   3,896 
EUR850,000      Axalta Coating Systems Dutch Holding BV   37.500   01/15/25   1,019 
$1,365,000      Ball Corp   5.000   03/15/22   1,457 
EUR250,000      Ball Corp   4.375   12/15/23   323 
$1,825,000      Barrick Gold Corp   3.850   04/01/22   1,947 
 1,500,000      Barrick Gold Corp   4.100   05/01/23   1,623 
 3,200,000      BHP Billiton Finance USA Ltd   5.000   09/30/43   3,708 
 2,500,000      Blue Cube Spinco, Inc   9.750   10/15/23   3,025 
 1,425,000      Blue Cube Spinco, Inc   10.000   10/15/25   1,753 
 1,475,000   g  Cemex SAB de C.V.   7.750   04/16/26   1,687 
 3,550,000      Corning, Inc   1.450   11/15/17   3,548 
 2,275,000   g  Corp Nacional del Cobre de Chile-CODELCO   3.875   11/03/21   2,375 
 2,375,000   g  Corp Nacional del Cobre de Chile-CODELCO   3.000   07/17/22   2,396 
 3,900,000   g  Corp Nacional del Cobre de Chile-CODELCO   4.500   09/16/25   4,163 
 3,250,000   g  CRH America Finance, Inc   3.400   05/09/27   3,251 
 1,390,000      Crown Americas LLC   4.500   01/15/23   1,456 
 1,875,000   g  Crown Americas LLC   4.250   09/30/26   1,870 
 1,000,000      Eastman Chemical Co   5.500   11/15/19   1,074 
 1,100,000   g  Eldorado Gold Corp   6.125   12/15/20   1,126 
 2,800,000   g  Equate Petrochemical BV   3.000   03/03/22   2,758 
 3,250,000   g  Georgia-Pacific LLC   3.600   03/01/25   3,351 
 1,275,000   g  Glencore Funding LLC   4.125   05/30/23   1,308 
 6,450,000   g  Glencore Funding LLC   4.625   04/29/24   6,744 
 13,000,000   g  Glencore Funding LLC   4.000   03/27/27   12,792 
 4,000,000   g  Grupo Cementos de Chihuahua SAB de C.V.   5.250   06/23/24   4,078 
 9,000,000      International Paper Co   3.000   02/15/27   8,663 
 5,150,000   g  Inversiones CMPC S.A.   4.375   04/04/27   5,234 
 3,600,000   g  Klabin Finance S.A.   5.250   07/16/24   3,640 
 1,625,000      Monsanto Co   3.375   07/15/24   1,649 
 2,400,000      Newmont Mining Corp   3.500   03/15/22   2,482 
 6,900,000      Newmont Mining Corp   4.875   03/15/42   7,300 
 2,500,000   g  Nova Chemicals Corp   4.875   06/01/24   2,491 
 2,590,000      Nucor Corp   4.000   08/01/23   2,737 
 3,000,000   g  OCP S.A.   4.500   10/22/25   3,022 
 1,350,000      Olin Corp   5.125   09/15/27   1,390 
 2,860,000   g  Owens-Brockway Glass Container, Inc   5.375   01/15/25   3,049 
 3,150,000      Packaging Corp of America   3.650   09/15/24   3,212 
 4,000,000   g  Phosagro OAO via Phosagro Bond Funding DAC   3.950   11/03/21   4,028 
 3,575,000      Potash Corp of Saskatchewan, Inc   3.625   03/15/24   3,621 
 5,000,000      Rock Tenn Co   3.500   03/01/20   5,136 
 3,000,000      Rock Tenn Co   4.000   03/01/23   3,141 
 6,625,000      RPM International, Inc   3.750   03/15/27   6,733 
 1,370,000   g  Sealed Air Corp   5.250   04/01/23   1,469 
 2,300,000   g  Severstal OAO Via Steel Capital S.A.   3.850   08/27/21   2,323 
 4,600,000      Sherwin-Williams Co   3.450   06/01/27   4,633 
 1,350,000      Sherwin-Williams Co   4.500   06/01/47   1,417 
EUR750,000   g  Silgan Holdings, Inc   3.250   03/15/25   885 
310

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$1,675,000      Steel Dynamics, Inc   5.125%  10/01/21  $1,720 
 1,630,000      Teck Resources Ltd   3.750   02/01/23   1,587 
 3,000,000   g  Union Andina de Cementos SAA   5.875   10/30/21   3,115 
 3,300,000      Vulcan Materials Co   3.900   04/01/27   3,390 
        TOTAL MATERIALS               184,536 
                      
MEDIA - 1.4%
 2,105,000      21st Century Fox America, Inc   7.625   11/30/28   2,756 
 1,578,000      21st Century Fox America, Inc   6.550   03/15/33   1,991 
 7,375,000      21st Century Fox America, Inc   6.900   08/15/39   9,747 
GBP675,000   g  AMC Entertainment Holdings, Inc   6.375   11/15/24   942 
$6,750,000      CBS Corp   2.300   08/15/19   6,794 
 4,200,000      CBS Corp   2.900   01/15/27   3,978 
 2,500,000      CBS Corp   3.375   02/15/28   2,450 
 11,150,000      Charter Communications Operating LLC   3.579   07/23/20   11,521 
 8,295,000      Charter Communications Operating LLC   4.464   07/23/22   8,837 
 22,275,000      Charter Communications Operating LLC   4.908   07/23/25   24,066 
 3,500,000      Cinemark USA, Inc   4.875   06/01/23   3,575 
 18,200,000      Comcast Corp   3.200   07/15/36   17,056 
 1,715,000   g  CSC Holdings LLC   5.500   04/15/27   1,814 
 2,430,000   g  Gannett Co, Inc   4.875   09/15/21   2,497 
 2,925,000   g  Gannett Co, Inc   5.500   09/15/24   3,013 
 2,000,000      Lamar Media Corp   5.000   05/01/23   2,080 
 2,000,000      Lamar Media Corp   5.375   01/15/24   2,090 
 7,250,000   g  NBC Universal Enterprise, Inc   1.662   04/15/18   7,263 
 7,700,000   g  NBC Universal Enterprise, Inc   1.974   04/15/19   7,727 
 10,350,000      NBC Universal Media LLC   2.875   01/15/23   10,510 
 3,735,000      Nielsen Finance LLC   4.500   10/01/20   3,792 
 4,650,000      Outfront Media Capital LLC   5.250   02/15/22   4,819 
 1,000,000   g,h  Sirius XM Radio, Inc   3.875   08/01/22   1,008 
 5,675,000      Time Warner Cable, Inc   5.875   11/15/40   6,333 
 4,075,000      Time Warner Cable, Inc   4.500   09/15/42   3,882 
 20,550,000      Time Warner, Inc   2.100   06/01/19   20,559 
 6,575,000      Time Warner, Inc   3.600   07/15/25   6,601 
 5,550,000      Time Warner, Inc   3.800   02/15/27   5,588 
 150,000      Time Warner, Inc   4.850   07/15/45   154 
 675,000   g  Virgin Media Secured Finance plc   5.500   01/15/25   702 
 5,775,000      Walt Disney Co   2.450   03/04/22   5,819 
        TOTAL MEDIA               189,964 
                      
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 1.8%
 4,750,000      Abbott Laboratories   3.875   09/15/25   4,886 
 19,450,000      Abbott Laboratories   3.750   11/30/26   19,857 
 2,250,000      Abbott Laboratories   5.300   05/27/40   2,551 
 16,950,000      AbbVie, Inc   2.500   05/14/20   17,145 
 18,500,000      AbbVie, Inc   3.200   05/14/26   18,283 
 150,000      AbbVie, Inc   4.500   05/14/35   158 
 33,025,000      Actavis Funding SCS   3.800   03/15/25   34,162 
 9,500,000      Actavis Funding SCS   4.550   03/15/35   10,148 
 134,000      Actavis Funding SCS   4.750   03/15/45   145 
 5,200,000      Amgen, Inc   1.850   08/19/21   5,084 
 8,600,000      Amgen, Inc   2.600   08/19/26   8,140 
 5,650,000      AstraZeneca plc   3.125   06/12/27   5,632 
 7,450,000      Celgene Corp   2.875   08/15/20   7,618 
311

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$11,575,000      Celgene Corp   3.875%  08/15/25  $12,089 
 9,850,000      Gilead Sciences, Inc   3.650   03/01/26   10,145 
 8,675,000      Gilead Sciences, Inc   2.950   03/01/27   8,420 
 9,375,000      Johnson & Johnson   2.950   03/03/27   9,488 
 3,750,000      Johnson & Johnson   3.625   03/03/37   3,926 
 4,100,000      Mylan NV   3.750   12/15/20   4,261 
 7,225,000      Mylan NV   3.950   06/15/26   7,321 
 9,600,000      Novartis Capital Corp   3.000   11/20/25   9,700 
 10,925,000      Novartis Capital Corp   3.100   05/17/27   11,058 
 500,000      Perrigo Finance plc   3.900   12/15/24   508 
 2,092,000      Perrigo Finance plc   4.900   12/15/44   2,124 
 8,225,000      Pfizer, Inc   4.125   12/15/46   8,737 
 8,275,000   g  Roche Holdings, Inc   2.375   01/28/27   7,849 
 1,650,000      Teva Pharmaceutical Finance Netherlands III BV   2.200   07/21/21   1,620 
 10,075,000      Teva Pharmaceutical Finance Netherlands III BV   3.150   10/01/26   9,569 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES         240,624 
                      
REAL ESTATE - 1.6%
 1,675,000      Alexandria Real Estate Equities, Inc   3.950   01/15/27   1,706 
 2,300,000      Alexandria Real Estate Equities, Inc   3.950   01/15/28   2,339 
 10,300,000      American Tower Corp   3.300   02/15/21   10,568 
 2,418,000      American Tower Corp   4.400   02/15/26   2,535 
 1,600,000      American Tower Corp   3.550   07/15/27   1,582 
 300,000      Boston Properties LP   4.125   05/15/21   316 
 5,575,000      Brandywine Operating Partnership LP   4.100   10/01/24   5,595 
 4,500,000      Brixmor Operating Partnership LP   3.875   08/15/22   4,601 
 5,800,000      Brixmor Operating Partnership LP   3.250   09/15/23   5,668 
 5,825,000      Brixmor Operating Partnership LP   3.850   02/01/25   5,749 
 2,650,000      Brixmor Operating Partnership LP   4.125   06/15/26   2,635 
 3,965,000      Camden Property Trust   4.625   06/15/21   4,222 
 3,000,000      Camden Property Trust   2.950   12/15/22   2,979 
 4,825,000      Crown Castle International Corp   2.250   09/01/21   4,748 
 3,911,000      Crown Castle International Corp   4.875   04/15/22   4,272 
 5,175,000      DCT Industrial Operating Partnership LP   4.500   10/15/23   5,446 
 3,450,000      DDR Corp   3.625   02/01/25   3,282 
 3,250,000      DDR Corp   4.250   02/01/26   3,187 
 3,250,000      DDR Corp   4.700   06/01/27   3,257 
 6,800,000      Developers Diversified Realty Corp   4.750   04/15/18   6,933 
 3,460,000      Developers Diversified Realty Corp   7.875   09/01/20   3,963 
 1,600,000      Duke Realty LP   3.250   06/30/26   1,571 
 1,250,000      Equinix, Inc   5.375   01/01/22   1,319 
 2,750,000      Equity One, Inc   3.750   11/15/22   2,845 
 210,000      ERP Operating LP   4.625   12/15/21   227 
 2,754,000      Essex Portfolio LP   3.375   01/15/23   2,780 
 4,275,000      Federal Realty Investment Trust   3.250   07/15/27   4,195 
 500,000      HCP, Inc   5.375   02/01/21   546 
 2,775,000      Healthcare Realty Trust, Inc   5.750   01/15/21   3,039 
 1,625,000      Healthcare Realty Trust, Inc   3.750   04/15/23   1,653 
 6,600,000      Healthcare Realty Trust, Inc   3.875   05/01/25   6,653 
 3,700,000      Healthcare Trust of America Holdings LP   3.375   07/15/21   3,774 
 3,550,000      Healthcare Trust of America Holdings LP   3.700   04/15/23   3,621 
 6,250,000      Healthcare Trust of America Holdings LP   3.500   08/01/26   6,112 
 1,950,000      Highwoods Realty LP   3.875   03/01/27   1,949 
312

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$1,775,000      Host Hotels & Resorts LP   4.500%  02/01/26  $1,861 
 2,800,000      Kimco Realty Corp   3.400   11/01/22   2,854 
 2,500,000      Liberty Property LP   3.250   10/01/26   2,422 
 5,224,000      Mid-America Apartments LP   4.300   10/15/23   5,529 
 5,525,000      Mid-America Apartments LP   3.750   06/15/24   5,664 
 4,300,000      Mid-America Apartments LP   4.000   11/15/25   4,450 
 3,575,000      Mid-America Apartments LP   3.600   06/01/27   3,557 
 3,600,000      National Retail Properties, Inc   3.800   10/15/22   3,749 
 5,425,000      National Retail Properties, Inc   3.300   04/15/23   5,486 
 2,575,000      National Retail Properties, Inc   4.000   11/15/25   2,633 
 3,000,000      National Retail Properties, Inc   3.600   12/15/26   2,976 
 7,225,000      Regency Centers LP   3.900   11/01/25   7,375 
 4,750,000      Regency Centers LP   3.600   02/01/27   4,718 
 9,775,000      Simon Property Group LP   3.375   06/15/27   9,729 
 450,000      Ventas Realty LP   4.125   01/15/26   463 
 1,170,000      Weingarten Realty Investors   3.375   10/15/22   1,183 
 4,800,000      Weingarten Realty Investors   3.500   04/15/23   4,832 
 3,025,000      Weingarten Realty Investors   4.450   01/15/24   3,166 
 3,950,000      Weingarten Realty Investors   3.850   06/01/25   3,976 
 1,300,000      Weingarten Realty Investors   3.250   08/15/26   1,239 
 13,475,000      Welltower, Inc   4.000   06/01/25   13,934 
        TOTAL REAL ESTATE               217,663 
                      
RETAILING - 0.6%
 600,000      Asbury Automotive Group, Inc   6.000   12/15/24   611 
 4,150,000      AutoNation, Inc   3.350   01/15/21   4,225 
 4,425,000      AutoZone, Inc   3.250   04/15/25   4,348 
 100,000      Best Buy Co, Inc   5.500   03/15/21   109 
 6,525,000      Enable Midstream Partners LP   4.400   03/15/27   6,549 
 8,850,000      Home Depot, Inc   2.000   04/01/21   8,824 
 8,725,000      Home Depot, Inc   3.350   09/15/25   9,061 
 5,175,000      Home Depot, Inc   3.000   04/01/26   5,203 
 2,975,000      Home Depot, Inc   3.500   09/15/56   2,700 
 3,150,000      L Brands, Inc   6.750   07/01/36   3,024 
 3,150,000      Limited Brands, Inc   7.000   05/01/20   3,469 
 6,600,000      Macy’s Retail Holdings, Inc   4.500   12/15/34   5,465 
 7,575,000      O’Reilly Automotive, Inc   3.550   03/15/26   7,628 
 5,050,000   g  Rolls-Royce plc   2.375   10/14/20   5,054 
 1,850,000   g  Rolls-Royce plc   3.625   10/14/25   1,906 
GBP1,250,000      Rolls-Royce plc   3.375   06/18/26   1,770 
$5,800,000      Target Corp   2.500   04/15/26   5,499 
 5,625,000      Target Corp   3.625   04/15/46   5,256 
 150,000      Wal-Mart Stores, Inc   4.300   04/22/44   166 
        TOTAL RETAILING               80,867 
                      
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 0.2%
 250,000      Intel Corp   3.700   07/29/25   263 
 16,275,000      Intel Corp   3.150   05/11/27   16,332 
 6,500,000      Intel Corp   4.100   05/11/47   6,739 
 3,475,000      Maxim Integrated Products, Inc   3.450   06/15/27   3,438 
 3,475,000      Texas Instruments, Inc   2.625   05/15/24   3,461 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT         30,233 
313

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
SOFTWARE & SERVICES - 0.7%
$4,175,000      Activision Blizzard Inc   2.300%  09/15/21  $4,147 
 4,350,000      Activision Blizzard Inc   3.400   09/15/26   4,362 
 5,400,000   h  Baidu, Inc   2.875   07/06/22   5,372 
 265,000   g  CDK Global, Inc   4.875   06/01/27   272 
 20,350,000      Fidelity National Information Services, Inc   3.625   10/15/20   21,316 
GBP150,000      Fidelity National Information Services, Inc   1.700   06/30/22   194 
EUR375,000      Fidelity National Information Services, Inc   1.100   07/15/24   424 
$800,000   g  IMS Health, Inc   5.000   10/15/26   825 
 30,200,000      Microsoft Corp   2.400   08/08/26   29,067 
 3,750,000      Microsoft Corp   4.100   02/06/37   4,044 
 5,500,000      Microsoft Corp   4.250   02/06/47   5,964 
 3,075,000      NCR Corp   4.625   02/15/21   3,137 
 525,000      NCR Corp   5.875   12/15/21   546 
 1,650,000   g  Open Text Corp   5.625   01/15/23   1,720 
 12,600,000      Oracle Corp   2.500   05/15/22   12,718 
        TOTAL SOFTWARE & SERVICES               94,108 
                      
TECHNOLOGY HARDWARE & EQUIPMENT - 0.9%
 3,475,000      Amphenol Corp   3.125   09/15/21   3,555 
 10,450,000      Apple, Inc   3.350   02/09/27   10,700 
 13,025,000      Apple, Inc   3.200   05/11/27   13,149 
EUR750,000      Apple, Inc   1.375   05/24/29   844 
$4,525,000      Apple, Inc   4.650   02/23/46   5,080 
 8,150,000   g  Broadcom Corp   3.875   01/15/27   8,370 
 19,750,000      Cisco Systems, Inc   1.850   09/20/21   19,505 
 1,600,000   g  CommScope, Inc   5.000   06/15/21   1,636 
 2,600,000   g  CommScope, Inc   5.500   06/15/24   2,706 
 6,100,000   g  Diamond Finance Corp   3.480   06/01/19   6,243 
 13,175,000   g  Diamond Finance Corp   4.420   06/15/21   13,888 
 10,550,000   g  Diamond Finance Corp   6.020   06/15/26   11,622 
 200,000      Koninklijke Philips NV   3.750   03/15/22   211 
 6,525,000   g  Seagate HDD Cayman   4.250   03/01/22   6,632 
 525,000   g  Sensata Technologies BV   5.625   11/01/24   563 
 250,000   g  Sensata Technologies BV   5.000   10/01/25   261 
 5,050,000      Tyco Electronics Group S.A.   2.375   12/17/18   5,082 
 6,669,000      Tyco Electronics Group S.A.   3.500   02/03/22   6,902 
EUR700,000      Tyco Electronics Group S.A.   1.100   03/01/23   802 
$2,175,000      Tyco Electronics Group S.A.   3.700   02/15/26   2,244 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT         119,995 
                      
TELECOMMUNICATION SERVICES - 1.4%
 2,800,000      Alibaba Group Holding Ltd   2.500   11/28/19   2,822 
 500,000      Alibaba Group Holding Ltd   3.600   11/28/24   515 
EUR1,500,000   g  Altice Luxembourg S.A.   7.250   05/15/22   1,817 
$21,350,000      AT&T, Inc   1.400   12/01/17   21,332 
 8,450,000      AT&T, Inc   4.600   02/15/21   9,011 
 27,775,000      AT&T, Inc   3.400   05/15/25   27,308 
 6,675,000      AT&T, Inc   4.250   03/01/27   6,901 
EUR500,000      AT&T, Inc   2.350   09/04/29   564 
$9,000,000      AT&T, Inc   4.500   05/15/35   8,864 
EUR440,000      AT&T, Inc   3.150   09/04/36   495 
$6,525,000      AT&T, Inc   5.250   03/01/37   6,959 
314

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
GBP355,000      AT&T, Inc   3.550%  09/14/37  $449 
$200,000      AT&T, Inc   4.300   12/15/42   186 
 150,000      AT&T, Inc   4.800   06/15/44   149 
 4,525,000      AT&T, Inc   4.750   05/15/46   4,443 
 6,525,000      AT&T, Inc   5.450   03/01/47   7,034 
 4,400,000   g  Bharti Airtel International Netherlands BV   5.125   03/11/23   4,628 
 4,000,000      Deutsche Telekom International Finance BV   8.750   06/15/30   5,933 
 4,000,000   g  MTN Mauritius Investment Ltd   5.373   02/13/22   4,118 
 3,500,000   g,q  Oi S.A.   5.750   02/10/22   1,216 
 3,950,000      Orange S.A.   5.500   02/06/44   4,722 
 2,125,000      Telefonica Emisiones SAU   4.103   03/08/27   2,196 
 2,325,000      T-Mobile USA, Inc   6.375   03/01/25   2,514 
 2,000,000   g  Turk Telekomunikasyon AS.   4.875   06/19/24   2,010 
 9,275,000      Verizon Communications, Inc   3.450   03/15/21   9,602 
 5,625,000      Verizon Communications, Inc   4.150   03/15/24   5,921 
 30,520,000      Verizon Communications, Inc   4.272   01/15/36   29,489 
 10,550,000      Verizon Communications, Inc   3.850   11/01/42   9,211 
 3,350,000      Verizon Communications, Inc   4.125   08/15/46   2,986 
 400,000      Verizon Communications, Inc   5.012   08/21/54   394 
 4,325,000   g  VimpelCom Holdings BV   4.950   06/16/24   4,338 
EUR1,500,000   g  Virgin Media Finance plc   4.500   01/15/25   1,784 
        TOTAL TELECOMMUNICATION SERVICES               189,911 
                      
TRANSPORTATION - 0.8%
$5,730,000   g  Asciano Finance Ltd   5.000   04/07/18   5,835 
 72,000      Burlington Northern Santa Fe LLC   4.150   04/01/45   75 
 6,525,000      Burlington Northern Santa Fe LLC   4.125   06/15/47   6,872 
 9,200,000      Canadian Pacific Railway Co   2.900   02/01/25   9,119 
 200,000      Canadian Pacific Railway Co   4.800   08/01/45   227 
 9,775,000      CSX Corp   3.250   06/01/27   9,868 
 150,000      CSX Corp   4.100   03/15/44   154 
 9,000,000      CSX Corp   3.800   11/01/46   8,743 
 9,250,000      Delta Air Lines, Inc   3.625   03/15/22   9,495 
 5,375,000      FedEx Corp   3.250   04/01/26   5,422 
 2,925,000      FedEx Corp   4.750   11/15/45   3,163 
 17,344,000      Kansas City Southern   2.350   05/15/20   17,313 
 5,700,000      Kansas City Southern   4.950   08/15/45   6,224 
 2,625,000      Northrop Grumman Corp   1.750   06/01/18   2,628 
 100,000   g  Park Aerospace Holdings Ltd   5.250   08/15/22   105 
 100,000   g  Park Aerospace Holdings Ltd   5.500   02/15/24   104 
 2,830,000   g  Rumo Luxembourg Sarl   7.375   02/09/24   2,907 
 6,575,000   g  Transnet SOC Ltd   4.000   07/26/22   6,406 
 3,500,000   g  TTX Co   3.600   01/15/25   3,525 
 5,000,000      Union Pacific Corp   4.000   04/15/47   5,135 
        TOTAL TRANSPORTATION               103,320 
                      
UTILITIES - 4.2%
 1,650,000      AEP Transmission Co LLC   3.100   12/01/26   1,646 
 1,650,000      AEP Transmission Co LLC   4.000   12/01/46   1,707 
 408,000   i  AES Corp   4.202   06/01/19   408 
 4,225,000      AES Corp   4.875   05/15/23   4,304 
 1,500,000      AES Corp   5.500   03/15/24   1,562 
 8,475,000      AGL Capital Corp   3.875   11/15/25   8,708 
 2,125,000      AGL Capital Corp   4.400   06/01/43   2,163 
315

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$3,475,000      Alabama Power Co   4.150%  08/15/44  $3,629 
 15,000,000      American Electric Power Co, Inc   1.650   12/15/17   15,002 
 6,000,000      American Electric Power Co, Inc   2.950   12/15/22   6,108 
 2,750,000      American Water Capital Corp   3.000   12/01/26   2,721 
 2,375,000      American Water Capital Corp   4.000   12/01/46   2,467 
 1,575,000   g  APT Pipelines Ltd   4.250   07/15/27   1,613 
 5,500,000      Atmos Energy Corp   8.500   03/15/19   6,090 
 1,175,000      Atmos Energy Corp   4.125   10/15/44   1,238 
 6,225,000      Black Hills Corp   4.250   11/30/23   6,590 
 1,575,000      Black Hills Corp   3.150   01/15/27   1,523 
 4,750,000      Carolina Power & Light Co   5.300   01/15/19   5,013 
 3,670,000      CenterPoint Energy Resources Corp   4.500   01/15/21   3,854 
 3,550,000      CenterPoint Energy Resources Corp   6.250   02/01/37   4,182 
 3,840,000   g  CEZ AS.   4.250   04/03/22   4,005 
 4,675,000      CMS Energy Corp   3.600   11/15/25   4,783 
 4,200,000      Commonwealth Edison Co   5.900   03/15/36   5,318 
 2,750,000      Connecticut Light & Power Co   5.500   02/01/19   2,901 
 6,800,000      Consolidated Edison Co of New York, Inc   3.850   06/15/46   6,866 
 7,500,000      Consolidated Edison Co of New York, Inc   3.875   06/15/47   7,620 
 4,575,000      Consolidated Edison, Inc   2.000   05/15/21   4,503 
EUR1,000,000      DH Europe Finance S.A.   1.200   06/30/27   1,115 
$3,775,000      Dominion Resources, Inc   2.000   08/15/21   3,702 
 1,400,000      Duke Energy Carolinas LLC   4.300   06/15/20   1,493 
 5,825,000      Duke Energy Corp   1.800   09/01/21   5,686 
 8,675,000      Duke Energy Corp   2.650   09/01/26   8,240 
 750,000      Duke Energy Corp   4.800   12/15/45   830 
 5,950,000      Duke Energy Corp   3.750   09/01/46   5,661 
 14,086,066      Duke Energy Florida Project Finance LLC   1.196   03/01/20   13,994 
 5,000,000      Duke Energy Florida Project Finance LLC   1.731   09/01/22   4,845 
 1,450,000      Duke Energy Ohio, Inc   3.800   09/01/23   1,540 
 13,350,000   g  Electricite de France S.A.   2.350   10/13/20   13,401 
 8,150,000      Energy Transfer Partners LP   4.050   03/15/25   8,183 
 8,900,000      Energy Transfer Partners LP   4.750   01/15/26   9,260 
 2,985,000      Energy Transfer Partners LP   5.150   02/01/43   2,837 
 5,450,000      Energy Transfer Partners LP   5.950   10/01/43   5,780 
 6,025,000      Energy Transfer Partners LP   5.150   03/15/45   5,861 
 1,675,000      Energy Transfer Partners LP   5.300   04/15/47   1,659 
 2,850,000      Enersis Americas S.A.   4.000   10/25/26   2,881 
EUR700,000      Engie S.A.   2.375   05/19/26   882 
$5,700,000      Entergy Corp   2.950   09/01/26   5,459 
 5,850,000   g  Eskom Holdings SOC Ltd   5.750   01/26/21   5,912 
 9,450,000      Exelon Generation Co LLC   3.400   03/15/22   9,618 
 6,250,000   g  FirstEnergy Transmission LLC   4.350   01/15/25   6,531 
 8,050,000      Fortis, Inc   3.055   10/04/26   7,769 
 350,000      Georgia Power Co   3.250   03/30/27   349 
 3,000,000      Georgia Power Co   5.400   06/01/40   3,509 
 6,525,000      Great Plains Energy, Inc   3.900   04/01/27   6,602 
EUR1,000,000      Iberdrola International BV   1.125   04/21/26   1,129 
$5,000,000      Indiana Michigan Power Co   7.000   03/15/19   5,396 
 3,600,000      Indiana Michigan Power Co   3.750   07/01/47   3,502 
 2,725,000      Integrys Energy Group, Inc   4.170   11/01/20   2,874 
 2,425,000      Interstate Power & Light Co   3.700   09/15/46   2,336 
 3,000,000   g  Israel Electric Corp Ltd   5.625   06/21/18   3,093 
316

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$1,300,000   g  Israel Electric Corp Ltd   5.000%  11/12/24  $1,397 
 1,000,000   g  Kansas Gas & Electric   6.700   06/15/19   1,087 
 800,000   g  KazMunayGas National Co JSC   3.875   04/19/22   792 
 5,000,000   g  KazMunayGas National Co JSC   4.750   04/19/27   4,905 
 750,000   g  KSA Sukuk Ltd   3.628   04/20/27   766 
 5,000,000      LG&E and KU Energy LLC   3.750   11/15/20   5,213 
 4,225,000   g  Listrindo Capital BV   4.950   09/14/26   4,278 
 12,500,000      Mercy Health   3.382   11/01/25   12,315 
 1,325,000      MidAmerican Energy Co   4.250   05/01/46   1,422 
 4,240,000      MPLX LP   5.500   02/15/23   4,354 
 6,262,000      MPLX LP   4.500   07/15/23   6,647 
 3,800,000      MPLX LP   4.000   02/15/25   3,826 
 3,775,000      MPLX LP   4.125   03/01/27   3,788 
 3,850,000      MPLX LP   5.200   03/01/47   3,949 
 2,000,000   g  NBK SPC Ltd   2.750   05/30/22   1,975 
 2,800,000      Nevada Power Co   6.500   08/01/18   2,943 
 3,335,000      Nevada Power Co   5.450   05/15/41   3,991 
 13,025,000      NextEra Energy Capital Holdings, Inc   3.550   05/01/27   13,226 
 9,750,000      NiSource Finance Corp   3.490   05/15/27   9,818 
 3,700,000      NiSource Finance Corp   4.800   02/15/44   4,014 
 4,325,000      NiSource Finance Corp   4.375   05/15/47   4,466 
 3,375,000      Northeast Utilities   1.450   05/01/18   3,370 
 2,000,000   g  Novolipetsk Steel via Steel Funding Ltd   4.500   06/15/23   2,041 
 2,000,000      NRG Energy, Inc   6.250   05/01/24   2,020 
 2,500,000      NTPC Ltd   5.625   07/14/21   2,752 
 1,000,000      NTPC Ltd   4.750   10/03/22   1,072 
EUR250,000   g  OI European Group BV   3.125   11/15/24   289 
$7,100,000      Oncor Electric Delivery Co LLC   2.150   06/01/19   7,104 
 1,280,000      Oncor Electric Delivery Co LLC   5.250   09/30/40   1,537 
 8,170,000      Oncor Electric Delivery Co LLC   4.550   12/01/41   8,920 
 3,900,000      Pacific Gas & Electric Co   8.250   10/15/18   4,214 
 5,850,000      Pacific Gas & Electric Co   4.250   03/15/46   6,233 
 2,750,000      Pacific Gas & Electric Co   4.000   12/01/46   2,832 
 4,500,000   g  Perusahaan Gas Negara Persero Tbk PT   5.125   05/16/24   4,829 
 10,300,000   g  Perusahaan Listrik Negara PT   4.125   05/15/27   10,122 
 4,000,000   g  Petroleos del Peru S.A.   4.750   06/19/32   3,970 
 6,575,000      Phillips 66 Partners LP   3.550   10/01/26   6,387 
 1,600,000      Phillips 66 Partners LP   4.900   10/01/46   1,580 
 750,000      Potomac Electric Power Co   7.900   12/15/38   1,128 
 6,925,000      PPL Capital Funding, Inc   4.200   06/15/22   7,332 
 2,000,000      PPL Electric Utilities Corp   3.000   09/15/21   2,052 
 3,825,000      Progress Energy, Inc   7.050   03/15/19   4,141 
 8,800,000      Public Service Co of Oklahoma   5.150   12/01/19   9,380 
 2,640,000      Public Service Electric & Gas Co   5.300   05/01/18   2,724 
 2,850,000      Public Service Electric & Gas Co   3.800   03/01/46   2,902 
 1,375,000   g  Saka Energi Indonesia PT   4.450   05/05/24   1,379 
 5,550,000      Sempra Energy   2.875   10/01/22   5,563 
 6,800,000      Southern Co   4.400   07/01/46   6,934 
 2,000,000      Southern Co Gas Capital Corp   3.950   10/01/46   1,912 
 8,250,000      Southern Power Co   2.500   12/15/21   8,174 
 7,825,000      Southern Power Co   4.150   12/01/25   8,172 
 3,950,000      Spectra Energy Partners LP   3.500   03/15/25   3,910 
 2,300,000      Spectra Energy Partners LP   3.375   10/15/26   2,248 
 7,150,000      Spectra Energy Partners LP   4.500   03/15/45   7,056 
317

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$3,000,000   g  Tengizchevroil Finance Co International Ltd   4.000%  08/15/26  $2,888 
 600,000      TransAlta Corp   6.900   05/15/18   623 
 3,680,000      Virginia Electric & Power Co   2.950   01/15/22   3,756 
 6,500,000      Virginia Electric & Power Co   3.500   03/15/27   6,684 
 3,925,000      Virginia Electric & Power Co   4.000   11/15/46   4,053 
 4,900,000   g  VM Holding S.A.   5.375   05/04/27   4,947 
 700,000      Western Gas Partners LP   4.000   07/01/22   718 
 2,650,000      Western Gas Partners LP   3.950   06/01/25   2,633 
 6,900,000      Western Gas Partners LP   4.650   07/01/26   7,064 
 1,575,000      Western Gas Partners LP   5.450   04/01/44   1,601 
 5,075,000      Williams Partners LP   3.600   03/15/22   5,184 
 7,250,000      Williams Partners LP   4.500   11/15/23   7,738 
 1,500,000      Williams Partners LP   3.750   06/15/27   1,485 
 1,175,000      Williams Partners LP   4.900   01/15/45   1,178 
 4,125,000      Wisconsin Power & Light Co   4.100   10/15/44   4,221 
 2,975,000      Xcel Energy, Inc   3.350   12/01/26   3,003 
 2,890,000      Xcel Energy, Inc   4.800   09/15/41   3,090 
        TOTAL UTILITIES               578,770 
                      
        TOTAL CORPORATE BONDS           4,914,341 
        (Cost $4,823,743)             
                
GOVERNMENT BONDS -  44.0%
                
AGENCY SECURITIES - 1.5%
 9,999,940      AMAL Ltd   3.465   08/21/21   10,284 
 5,500,000      Amber Circle Funding Ltd   3.250   12/04/22   5,579 
 4,823,087      Export Lease Ten Co LLC   1.650   05/07/25   4,691 
 14,345,000      Lutheran Medical Center   1.982   02/20/30   13,742 
 10,174,644      Premier Aircraft Leasing   3.576   02/06/22   10,504 
 10,000,000      Private Export Funding Corp (PEFCO)   2.250   12/15/17   10,039 
 5,000,000      PEFCO   4.375   03/15/19   5,238 
 7,240,000      PEFCO   1.450   08/15/19   7,220 
 27,750,000      PEFCO   2.250   03/15/20   28,122 
 35,000,000      PEFCO   4.300   12/15/21   38,352 
 25,747,000      PEFCO   2.050   11/15/22   25,592 
 12,960,000      UNM Sandoval Regional Medical Center   4.500   07/20/36   13,536 
 2,694,000      US Department of Housing and Urban Development (HUD)   5.380   08/01/18   2,703 
 9,210,000      Montefiore Medical Center   2.152   10/20/26   8,823 
 37,867,359      Tagua Leasing LLC   1.900   07/12/24   37,362 
        TOTAL AGENCY SECURITIES               221,787 
                      
FOREIGN GOVERNMENT BONDS - 5.2%
 4,000,000   g  Abu Dhabi Government International Bond   3.125   05/03/26   4,043 
 15,000,000      African Development Bank   1.375   12/17/18   14,967 
 3,200,000      Argentine Republic Government International Bond   5.625   01/26/22   3,277 
INR135,000,000      Asian Development Bank   6.200   10/06/26   2,133 
AUD1,700,000      Australia Government International Bond   5.750   05/15/21   1,484 
1,100,000      Australia Government International Bond   3.750   04/21/37   911 
$2,250,000   g  Banque Centrale de Tunisie S.A.   5.750   01/30/25   2,157 
 2,000,000   g  Bermuda Government International Bond   4.854   02/06/24   2,162 
 3,450,000   g  Bermuda Government International Bond   3.717   01/25/27   3,463 
 6,000,000   g  Brazil Minas SPE via State of Minas Gerais   5.333   02/15/28   5,835 
318

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
BRL4,500,000      Brazil Notas do Tesouro Nacional Serie F   10.000%  01/01/19  $1,380 
 5,750,000      Brazil Notas do Tesouro Nacional Serie F   10.000   01/01/21   1,740 
$3,750,000      Brazilian Government International Bond   4.250   01/07/25   3,684 
 500,000   g  Caisse d’Amortissement de la Dette Sociale   1.875   01/13/20   501 
 5,000,000   g  Caisse d’Amortissement de la Dette Sociale   2.000   04/17/20   5,021 
 1,850,000   g  Caisse d’Amortissement de la Dette Sociale   1.875   07/28/20   1,847 
 4,000,000   g  Caisse d’Amortissement de la Dette Sociale   1.875   02/12/22   3,953 
EUR400,000      Caisse d’Amortissement de la Dette Sociale   1.375   11/25/24   487 
CAD1,460,000      Canadian Government International Bond   0.500   02/01/19   1,116 
 1,400,000      Canadian Government International Bond   0.750   03/01/21   1,058 
$100,000      Colombia Government International Bond   7.375   03/18/19   109 
 6,125,000      Colombia Government International Bond   2.625   03/15/23   5,972 
 2,500,000      Colombia Government International Bond   4.500   01/28/26   2,662 
 5,350,000      Colombia Government International Bond   5.000   06/15/45   5,382 
 3,500,000   g  Costa Rica Government International Bond   7.158   03/12/45   3,675 
 20,200,000   g  CPPIB Capital, Inc   2.250   01/25/22   20,276 
DKK3,700,000      Denmark Government International Bond   1.500   11/15/23   618 
 3,600,000      Denmark Government International Bond   1.750   11/15/25   616 
$2,750,000   g  Ecuador Government International Bond   9.650   12/13/26   2,746 
 1,850,000   g  Egypt Government International Bond   6.125   01/31/22   1,890 
 2,500,000   g  Egypt Government International Bond   7.500   01/31/27   2,651 
 5,200,000   g  Egypt Government International Bond   8.500   01/31/47   5,614 
 1,450,000   g  El Salvador Government International Bond   8.625   02/28/29   1,508 
 10,000,000      European Investment Bank   2.500   04/15/21   10,216 
 250,000      European Investment Bank   3.250   01/29/24   264 
SEK12,330,000      European Investment Bank   1.250   05/12/25   1,479 
$3,500,000      European Investment Bank   4.875   02/15/36   4,471 
 3,400,000   g  Export Credit Bank of Turkey   5.375   10/24/23   3,428 
 2,000,000   g  Export-Import Bank of China   2.850   09/16/20   1,998 
 975,000   g  Export-Import Bank of India   3.375   08/05/26   954 
 8,950,000      Export-Import Bank of Korea   2.250   01/21/20   8,934 
EUR2,762,000      France Government Bond OAT   1.750   11/25/24   3,469 
 4,000,000      France Government Bond OAT   1.500   05/25/31   4,748 
 700,000   g  French Republic Government Bond OAT   1.750   06/25/39   822 
 1,050,000   g  French Republic Government Bond OAT   2.000   05/25/48   1,237 
$3,600,000   g  Guatemala Government International Bond   4.500   05/03/26   3,638 
 3,325,000   g  Guatemala Government International Bond   4.375   06/05/27   3,300 
EUR1,425,000   i  Hellenic Republic Government Bond   3.000   02/24/30   1,310 
$2,595,000   g  Honduras Government International Bond   7.500   03/15/24   2,871 
 1,100,000   g  Honduras Government International Bond   6.250   01/19/27   1,136 
CAD1,800,000      Hydro-Quebec   5.000   02/15/45   1,901 
$400,000      Indian Railway Finance Corp Ltd   3.917   02/26/19   409 
 400,000   g  Indonesia Government International Bond   4.125   01/15/25   412 
 1,350,000   g  Indonesia Government International Bond   5.950   01/08/46   1,601 
IDR18,000,000,000      Indonesia Treasury Bond   8.250   07/15/21   1,423 
 38,500,000,000      Indonesia Treasury Bond   7.500   08/15/32   2,925 
AUD900,000      Inter-American Development Bank   2.750   10/30/25   674 
 1,300,000      International Bank for Reconstruction & Development   2.800   01/13/21   1,011 
EUR1,300,000      Ireland Government International Bond   3.900   03/20/23   1,796 
 1,775,000      Ireland Government International Bond   1.000   05/15/26   2,047 
ILS3,100,000      Israel Government Bond-Fixed   5.500   01/31/42   1,236 
EUR2,275,000      Italy Buoni Poliennali Del Tesoro   0.450   06/01/21   2,594 
 1,100,000      Italy Buoni Poliennali Del Tesoro   1.200   04/01/22   1,276 
 5,000,000      Italy Buoni Poliennali Del Tesoro   2.500   12/01/24   6,034 
319

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
EUR1,200,000      Italy Buoni Poliennali Del Tesoro   1.250%  12/01/26  $1,280 
 2,170,000      Italy Buoni Poliennali Del Tesoro   2.200   06/01/27   2,484 
 1,350,000   g  Italy Buoni Poliennali Del Tesoro   1.650   03/01/32   1,374 
 1,350,000   g  Italy Buoni Poliennali Del Tesoro   3.450   03/01/48   1,569 
 5,310,000      Italy Government International Bond   6.875   09/27/23   6,221 
 750,000   g  Ivory Coast Government International Bond   5.125   06/15/25   864 
$2,950,000   g  Ivory Coast Government International Bond   6.125   06/15/33   2,826 
 2,548,000   g,i  Ivory Coast Government International Bond (Step Bond)5.750   12/31/32   2,442 
 3,050,000      Jamaica Government International Bond   8.000   03/15/39   3,599 
 8,000,000      Japan Bank for International Cooperation   2.375   04/20/26   7,756 
 2,700,000   g  Japan Finance Organization for Municipalities   2.125   02/12/21   2,659 
 4,000,000   g  Japan Finance Organization for Municipalities   2.125   04/13/21   3,941 
JPY113,000,000      Japan Finance Organization for Municipalities   0.450   03/14/25   1,030 
 103,000,000      Japan Finance Organization for Municipalities   0.484   06/13/25   941 
 140,000,000      Japan Finance Organization for Municipalities   0.020   03/13/26   1,231 
 440,000,000      Japan Government Ten Year Bond   0.100   09/20/26   3,925 
 369,000,000      Japan Government Ten Year Bond   0.100   12/20/26   3,290 
 350,000,000      Japan Government Thirty Year Bond   2.400   11/20/31   4,035 
 350,000,000      Japan Government Thirty Year Bond   2.300   05/20/32   4,003 
 300,000,000      Japan Government Thirty Year Bond   2.500   09/20/34   3,572 
 450,000,000      Japan Government Thirty Year Bond   0.500   09/20/46   3,661 
 530,000,000      Japan Government Twenty Year Bond   1.900   03/22/21   5,059 
 120,000,000      Japan Government Twenty Year Bond   0.600   12/20/36   1,072 
 445,000,000      Japan Government Two Year Bond   0.100   02/15/19   3,970 
 280,000,000      Japan Government Two Year Bond   0.100   04/15/19   2,499 
$3,000,000   g  Kazakhstan Government International Bond   6.500   07/21/45   3,553 
 18,750,000      KFW   2.625   01/25/22   19,267 
 5,800,000   g,i  Kommunalbanken AS.   1.352   02/20/18   5,805 
NOK1,200,000      Kommunalbanken AS.   2.000   05/03/18   145 
$7,700,000   g  Kommunalbanken AS.   1.625   01/15/20   7,675 
 1,925,000   g  Kommunalbanken AS.   1.375   10/26/20   1,895 
 3,750,000   g  Kommunalbanken AS.   1.625   02/10/21   3,711 
EUR500,000      Kommunalbanken AS.   0.625   04/20/26   563 
$5,000,000   g  Kommuninvest I Sverige AB   2.000   11/12/19   5,034 
SEK13,300,000      Kommuninvest I Sverige AB   1.000   09/15/21   1,622 
$2,400,000      Korea Development Bank   1.500   01/22/18   2,395 
 2,600,000      Korea Development Bank   2.500   03/11/20   2,610 
 6,000,000   g  Korea Housing Finance Corp   1.625   09/15/18   5,961 
 2,675,000   g  Korea Housing Finance Corp   2.000   10/11/21   2,589 
KRW1,980,000,000      Korea Treasury Bond   1.750   12/10/18   1,735 
 3,920,000,000      Korea Treasury Bond   2.000   03/10/21   3,444 
 4,200,000,000      Korea Treasury Bond   1.375   09/10/21   3,596 
 1,800,000,000      Korea Treasury Bond   1.500   12/10/26   1,476 
EUR1,000,000      Kreditanstalt fuer Wiederaufbau   1.500   06/11/24   1,240 
$7,050,000   g  Kuwait International Government Bond   2.750   03/20/22   7,065 
 6,682,000      Landwirtschaftliche Rentenbank   2.000   01/13/25   6,513 
 1,750,000      Lebanon Government International Bond   6.750   11/29/27   1,749 
 1,700,000   g  Lithuania Government International Bond   7.375   02/11/20   1,924 
 5,250,000   g  Lithuania Government International Bond   6.625   02/01/22   6,171 
MXN14,500,000      Mexican Bonos   8.000   12/07/23   854 
 23,500,000      Mexican Bonos   5.750   03/05/26   1,209 
$4,797,000      Mexico Government International Bond   4.000   10/02/23   5,015 
 5,100,000      Mexico Government International Bond   4.150   03/28/27   5,281 
320

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$8,400,000      Mexico Government International Bond   4.750%  03/08/44  $8,408 
 1,200,000   g  Mongolia Government International Bond   4.125   01/05/18   1,199 
 6,950,000   g  Morocco Government International Bond   5.500   12/11/42   7,706 
 2,900,000   g  Municipality Finance plc   1.125   09/16/19   2,863 
 3,075,000   g  Namibia Government International Bond   5.250   10/29/25   3,159 
EUR1,075,000   g  Netherlands Government International Bond   2.500   01/15/33   1,504 
AUD500,000      New South Wales Treasury Corp   4.000   04/08/21   409 
 500,000      New South Wales Treasury Corp   4.000   05/20/26   418 
NZD700,000      New Zealand Government International Bond   4.500   04/15/27   578 
$4,500,000      Nigeria Government International Bond   5.625   06/27/22   4,448 
NOK13,000,000   g  Norway Government International Bond   2.000   05/24/23   1,624 
$3,700,000   g  Oman Government International Bond   6.500   03/08/47   3,778 
 5,300,000      Panama Government International Bond   6.700   01/26/36   6,824 
 3,000,000      Panama Government International Bond   4.500   05/15/47   3,037 
 865,000   g  Paraguay Government International Bond   4.700   03/27/27   888 
 4,000,000   g  Perusahaan Penerbit SBSN Indonesia III   3.400   03/29/22   4,040 
PEN4,860,000   g  Peruvian Government International Bond   8.200   08/12/26   1,792 
$3,000,000      Peruvian Government International Bond   8.750   11/21/33   4,597 
 2,250,000      Peruvian Government International Bond   5.625   11/18/50   2,726 
 1,700,000      Philippine Government International Bond   3.700   03/01/41   1,721 
 3,000,000      Philippine Government International Bond   3.700   02/02/42   3,012 
 8,150,000      Poland Government International Bond   5.000   03/23/22   9,047 
PLN6,600,000      Poland Government International Bond   4.000   10/25/23   1,894 
$15,000,000      Province of British Columbia Canada   2.000   10/23/22   14,864 
CAD2,350,000      Province of British Columbia Canada   2.550   06/18/27   1,829 
$20,750,000      Province of Manitoba Canada   1.750   05/30/19   20,764 
 10,000,000      Province of Manitoba Canada   3.050   05/14/24   10,326 
 25,000,000      Province of Manitoba Canada   2.125   06/22/26   23,721 
 20,000,000      Province of New Brunswick Canada   2.750   06/15/18   20,229 
 8,835,000      Province of Quebec Canada   4.625   05/14/18   9,071 
 22,500,000      Province of Quebec Canada   3.500   07/29/20   23,547 
CAD1,650,000      Province of Quebec Canada   2.750   09/01/27   1,306 
$6,000,000      Province of Quebec Canada   7.500   09/15/29   8,564 
 2,350,000   g  Provincia de Buenos Aires   7.875   06/15/27   2,433 
 2,000,000   g  Provincia de Mendoza Argentina   8.375   05/19/24   2,133 
 900,000   g  Republic of Ghana   7.875   08/07/23   918 
 1,175,000      Republic of Hungary   6.250   01/29/20   1,286 
 2,135,000   g  Republic of Paraguay   6.100   08/11/44   2,365 
PLN4,000,000      Republic of Poland Government International Bond   3.250   07/25/19   1,108 
$681,243   i  Republic of Serbia   6.750   11/01/24   695 
 100,000      Republic of the Philippines   6.500   01/20/20   111 
 4,500,000   g  Romanian Government International Bond   6.750   02/07/22   5,223 
RUB88,750,000      Russian Federal Bond - OFZ   7.000   01/25/23   1,452 
$3,250,000   g  Russian Foreign Bond - Eurobond   4.875   09/16/23   3,486 
 1,500,000   g  Saudi Government International Bond   2.375   10/26/21   1,474 
 4,000,000   g  Saudi Government International Bond   3.250   10/26/26   3,966 
 2,600,000   g  Senegal Government International Bond   6.250   05/23/33   2,635 
 4,000,000      South Africa Government International Bond   5.875   09/16/25   4,303 
 2,450,000      South Africa Government International Bond   4.875   04/14/26   2,451 
ZAR12,200,000      South Africa Government International Bond   10.500   12/21/26   1,035 
$500,000      South Africa Government International Bond   4.300   10/12/28   467 
ZAR15,100,000      South Africa Government International Bond   8.750   01/31/44   1,028 
$3,625,000   g  Southern Gas Corridor CJSC   6.875   03/24/26   3,924 
EUR1,130,000   g  Spain Government International Bond   4.300   10/31/19   1,426 
321

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
EUR1,020,000      Spain Government International Bond   0.400%  04/30/22  $1,169 
 4,950,000   g  Spain Government International Bond   2.750   10/31/24   6,344 
 1,250,000   g  Spain Government International Bond   2.900   10/31/46   1,440 
$3,000,000   g  Sri Lanka Government International Bond   5.750   01/18/22   3,100 
 3,100,000   g  Sri Lanka Government International Bond   6.850   11/03/25   3,265 
 4,075,000   g  Sri Lanka Government International Bond   6.200   05/11/27   4,069 
EUR700,000      State of North Rhine-Westphalia   2.000   10/15/25   894 
$4,000,000      Svensk Exportkredit AB   1.125   04/05/18   3,992 
 4,000,000      Svensk Exportkredit AB   1.750   03/10/21   3,976 
SEK7,050,000      Sweden Government International Bond   1.000   11/12/26   863 
 4,400,000      Sweden Government International Bond   2.250   06/01/32   588 
THB53,000,000      Thailand Government International Bond   1.875   06/17/22   1,548 
AUD500,000      Treasury Corp of Victoria   6.000   06/15/20   427 
 500,000      Treasury Corp of Victoria   3.000   10/20/28   379 
$7,000,000      Turkey Government International Bond   3.250   03/23/23   6,570 
 5,750,000      Turkey Government International Bond   5.750   03/22/24   6,083 
 6,150,000      Turkey Government International Bond   6.000   03/25/27   6,539 
 2,950,000      Turkey Government International Bond   6.875   03/17/36   3,313 
GBP1,700,000      United Kingdom Gilt   1.750   07/22/19   2,277 
 1,375,000      United Kingdom Gilt   1.500   01/22/21   1,854 
 3,000,000      United Kingdom Gilt   2.750   09/07/24   4,396 
 1,900,000      United Kingdom Gilt   4.750   12/07/30   3,441 
 1,000,000      United Kingdom Gilt   4.250   03/07/36   1,812 
 800,000      United Kingdom Gilt   1.500   07/22/47   955 
UYU20,760,000   g  Uruguay Government International Bond   9.875   06/20/22   745 
$2,352,945      Uruguay Government International Bond   4.375   10/27/27   2,500 
 6,750,000      Uruguay Government International Bond   5.100   06/18/50   6,877 
 2,625,000   g  Vietnam Government International Bond   4.800   11/19/24   2,757 
 2,000,000   g  Zambia Government International Bond   8.500   04/14/24   2,085 
        TOTAL FOREIGN GOVERNMENT BONDS               718,022 
                      
MORTGAGE BACKED - 19.7%
 25,583,747      Federal Home Loan Mortgage Corp (FHLMC)   3.500   08/15/42   26,452 
 41,698,477      FHLMC   3.500   08/15/43   43,620 
 44,064,369      FHLMC   3.500   07/15/46   8,423 
 42,522      Federal Home Loan Mortgage Corp Gold (FGLMC)   7.000   10/01/20   44 
 10,990      FGLMC   7.000   05/01/23   12 
 132,229      FGLMC   6.000   10/01/23   149 
 98,293      FGLMC   6.000   11/01/23   111 
 15,714,021      FGLMC   3.500   03/01/27   16,376 
 28,380      FGLMC   8.000   01/01/31   32 
 5,595      FGLMC   7.000   01/01/32   6 
 50,513      FGLMC   8.000   02/01/32   52 
 799,767      FGLMC   4.500   07/01/33   862 
 1,712,851      FGLMC   5.500   12/01/33   1,917 
 971,964      FGLMC   5.500   12/01/33   1,097 
 5,382,218      FGLMC   7.000   12/01/33   6,238 
 6,314,938      FGLMC   5.000   01/01/34   6,932 
 1,805,099      FGLMC   4.500   10/01/34   1,939 
 1,004,925      FGLMC   4.500   04/01/35   1,080 
 1,779,535      FGLMC   7.000   05/01/35   2,051 
 322,212      FGLMC   5.000   02/01/36   352 
 9,937      FGLMC   6.500   05/01/36   11 
322

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$2,064,604      FGLMC   5.000%  04/01/38  $2,273 
 1,660,614      FGLMC   5.000   07/01/39   1,823 
 10,068,963   w  FGLMC   4.500   11/01/40   10,976 
 11,358,260   w  FGLMC   4.500   12/01/40   12,389 
 193,028      FGLMC   4.500   12/01/43   209 
 117,879      FGLMC   4.500   02/01/44   129 
 4,640,414      FGLMC   4.500   10/01/44   5,059 
 2,629,039      FGLMC   4.500   11/01/44   2,867 
 2,149,334      FGLMC   4.500   11/01/44   2,345 
 984,878      FGLMC   4.500   12/01/44   1,063 
 1,669,293      FGLMC   4.500   12/01/44   1,820 
 9,764,343      FGLMC   3.500   04/01/45   10,097 
 74,128,272      FGLMC   3.500   10/01/45   76,606 
 65,420,918      FGLMC   4.000   12/01/45   69,499 
 8,160,145      FGLMC   4.000   05/01/46   8,642 
 135,225,635      FGLMC   3.500   08/01/46   139,740 
 7,015      Federal National Mortgage Association (FNMA)   8.000   03/01/23   7 
 77,600      FNMA   8.000   07/01/24   89 
 16,025      FNMA   9.000   11/01/25   18 
 830,967      FNMA   2.500   07/01/31   836 
 20,466,826      FNMA   2.500   07/01/31   20,597 
 4,909,714      FNMA   2.500   08/01/31   4,941 
 658,277      FNMA   2.500   10/01/31   663 
 2,219,638      FNMA   2.500   10/01/31   2,234 
 1,167,609      FNMA   2.500   11/01/31   1,175 
 395,945      FNMA   2.500   11/01/31   398 
 882,004      FNMA   2.500   11/01/31   888 
 1,614,458      FNMA   2.500   11/01/31   1,625 
 1,840,344      FNMA   2.500   11/01/31   1,852 
 628,045      FNMA   2.500   12/01/31   632 
 836,714      FNMA   2.500   12/01/31   842 
 1,119,587      FNMA   2.500   12/01/31   1,127 
 2,424,530      FNMA   2.500   12/01/31   2,440 
 3,058,886      FNMA   2.500   12/01/31   3,078 
 26,231,099      FNMA   3.500   02/01/32   27,341 
 19,000,000      FNMA   3.000   07/01/32   19,511 
 21,312,064      FNMA   3.500   07/01/32   22,218 
 987,216      FNMA   6.500   07/01/32   1,139 
 151,540      FNMA   7.000   07/01/32   161 
 90,970      FNMA   7.000   07/01/32   100 
 43,000,000   h  FNMA   2.500   08/25/32   43,165 
 34,000,000   h  FNMA   3.000   08/25/32   34,855 
 7,007,928      FNMA   5.000   06/01/33   7,688 
 827,417      FNMA   4.500   10/01/33   891 
 15,733,914      FNMA   5.000   10/01/33   17,259 
 95,659      FNMA   5.000   11/01/33   105 
 2,052,269      FNMA   5.000   11/01/33   2,287 
 834,427      FNMA   5.000   03/01/34   915 
 6,776,613      FNMA   5.500   03/01/34   7,595 
 5,924,405      FNMA   5.500   02/01/35   6,636 
 1,440,449      FNMA   4.500   05/01/35   1,553 
 9,468,833      FNMA   5.000   05/01/35   10,394 
323

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$4,222,866      FNMA   5.000%  10/01/35  $4,637 
 3,621,540      FNMA   5.000   02/01/36   3,976 
 36,575      FNMA   6.500   03/01/37   41 
 2,192,121      FNMA   5.500   08/01/37   2,461 
 995,926      FNMA   6.000   09/01/37   1,147 
 1,194,888      FNMA   6.000   09/01/37   1,379 
 801,885      FNMA   6.500   09/01/37   892 
 1,324,274      FNMA   5.500   01/01/38   1,483 
 66,576      FNMA   6.500   02/01/38   74 
 3,474,339      FNMA   5.500   04/01/38   3,869 
 7,417,841      FNMA   5.500   11/01/38   8,576 
 5,017,270      FNMA   5.500   12/01/38   5,661 
 168,041      FNMA   4.500   04/01/39   183 
 3,829,985      FNMA   4.500   05/01/39   4,156 
 582,441      FNMA   4.000   07/01/39   617 
 3,492,472      FNMA   5.500   08/01/39   3,931 
 250,851      FNMA   4.500   02/01/40   273 
 1,358,240      FNMA   5.000   08/01/40   1,485 
 7,845,276      FNMA   5.000   09/01/40   8,572 
 551,947      FNMA   6.000   10/01/40   629 
 713,803      FNMA   4.500   11/01/40   781 
 12,466,681      FNMA   4.500   01/01/41   13,534 
 21,893,925      FNMA   4.500   01/01/41   23,868 
 1,175,654      FNMA   4.500   01/01/41   1,286 
 1,011,363      FNMA   4.500   02/01/41   1,106 
 11,538,403      FNMA   5.000   05/01/41   12,618 
 1,028,469      FNMA   4.500   06/01/41   1,125 
 1,265,607      FNMA   4.500   06/01/41   1,385 
 698,321      FNMA   5.000   06/01/41   765 
 3,991,324      FNMA   5.000   07/01/41   4,372 
 1,039,270      FNMA   5.000   08/01/41   1,136 
 4,737,979      FNMA   4.500   09/01/41   5,143 
 1,469,932      FNMA   4.500   12/01/41   1,608 
 22,757,393      FNMA   5.500   12/01/41   26,043 
 1,282,871      FNMA   4.500   01/01/42   1,403 
 2,168,810      FNMA   4.500   01/01/42   2,364 
 1,460,901      FNMA   4.500   03/01/42   1,598 
 22,185,030      FNMA   3.000   03/25/42   22,612 
 1,121,581      FNMA   4.500   04/01/42   1,222 
 7,793,793      FNMA   4.500   04/01/42   8,427 
 1,453,717      FNMA   4.500   06/01/42   1,590 
 6,502,493      FNMA   4.500   06/01/42   7,024 
 23,599,533      FNMA   3.000   06/25/42   24,025 
 1,051,923      FNMA   4.500   07/01/42   1,151 
 14,425,517      FNMA   4.500   08/01/42   15,649 
 210,439      FNMA   3.000   10/01/42   211 
 18,961,084      FNMA   3.000   10/01/42   19,037 
 25,218,508      FNMA   3.500   11/25/42   4,982 
 21,364,077   w  FNMA   3.000   01/01/43   21,450 
 5,223,482   h  FNMA   4.500   01/01/43   5,611 
 26,811,646   w  FNMA   3.000   02/01/43   26,919 
 18,276,610      FNMA   3.000   02/25/43   18,693 
 11,959      FNMA   3.000   04/01/43   12 
324

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$17,224,791      FNMA   3.000%  08/25/43  $17,625 
 14,248,749      FNMA   4.500   10/01/43   15,464 
 9,222,575      FNMA   4.000   04/01/44   9,778 
 5,560,948      FNMA   4.000   06/01/44   5,897 
 2,812,555      FNMA   4.000   06/01/44   2,982 
 8,644,205      FNMA   4.500   06/01/44   9,414 
 3,227,893      FNMA   4.000   07/01/44   3,422 
 1,602,765      FNMA   4.000   07/01/44   1,699 
 14,323,663      FNMA   4.000   08/01/44   15,185 
 2,001,834      FNMA   4.000   08/01/44   2,122 
 5,267,067      FNMA   4.000   08/01/44   5,582 
 5,271,332      FNMA   4.000   08/01/44   5,588 
 1,138,645      FNMA   4.000   09/01/44   1,207 
 1,384,559      FNMA   4.000   09/01/44   1,468 
 6,547,306      FNMA   4.000   10/01/44   6,941 
 8,802,129      FNMA   4.500   10/01/44   9,590 
 15,648,058      FNMA   4.500   11/01/44   17,049 
 12,852,144      FNMA   4.000   12/01/44   13,683 
 4,589,887      FNMA   4.500   12/01/44   5,026 
 8,620,950      FNMA   4.000   01/01/45   9,181 
 582,642      FNMA   3.500   03/01/45   601 
 962,829      FNMA   3.500   03/01/45   994 
 2,146,834      FNMA   4.500   03/01/45   2,351 
 715,813      FNMA   4.500   04/01/45   785 
 18,663,982      FNMA   3.500   05/01/45   19,291 
 2,522,193      FNMA   4.000   05/01/45   2,686 
 5,566,260      FNMA   4.000   06/01/45   5,928 
 16,604,842      FNMA   4.000   07/01/45   17,632 
 2,808,779      FNMA   4.000   08/01/45   2,991 
 51,216,686      FNMA   4.000   09/01/45   54,529 
 1,546,556      FNMA   4.000   10/01/45   1,646 
 9,931,753      FNMA   4.000   11/01/45   10,577 
 3,139,764      FNMA   4.000   12/01/45   3,343 
 26,295,020      FNMA   3.500   01/01/46   27,150 
 47,804,738      FNMA   4.000   01/01/46   50,731 
 25,804,299      FNMA   3.500   02/01/46   26,571 
 23,060,354      FNMA   3.500   06/01/46   23,813 
 2,143,050      FNMA   4.000   10/01/46   2,267 
 5,731,801      FNMA   3.500   10/25/46   1,275 
 79,712,438      FNMA   3.000   11/01/46   79,644 
 86,764,878      FNMA   3.000   12/01/46   86,690 
 50,964,661   h  FNMA   3.500   12/01/46   52,361 
 5,227,340      FNMA   4.000   12/01/46   5,569 
 66,595,995      FNMA   3.000   01/01/47   66,539 
 143,299,732   h  FNMA   3.500   01/01/47   147,226 
 79,042,251      FNMA   4.000   07/01/47   83,115 
 86,022,016   h  FNMA   4.500   07/01/47   92,417 
 21,000,000   h  FNMA   4.000   07/25/47   22,071 
 6,000,000   h  FNMA   4.500   07/25/47   6,435 
 4,000,000   h  FNMA   3.000   08/25/47   3,987 
 60,000,000   h  FNMA   3.500   08/25/47   61,498 
 42,000,000   h  FNMA   4.000   08/25/47   44,066 
325

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$5,329      Government National Mortgage Association (GNMA)   8.000%  06/15/24  $5 
 21,541      GNMA   8.500   11/20/30   25 
 36,357      GNMA   8.500   12/20/30   43 
 14,985,499      GNMA   3.700   10/15/33   15,871 
 315,771      GNMA   6.000   10/20/36   364 
 356,108      GNMA   6.000   01/20/37   407 
 1,060,180      GNMA   6.000   02/20/37   1,207 
 768,156      GNMA   5.000   04/15/38   844 
 368,530      GNMA   6.000   08/20/38   416 
 686,832      GNMA   6.500   11/20/38   785 
 69,930      GNMA   4.500   02/20/39   77 
 507,939      GNMA   2.176   05/16/39   509 
 1,580,817      GNMA   5.000   06/15/39   1,761 
 2,393,862      GNMA   5.000   06/15/39   2,666 
 9,727,590      GNMA   4.500   09/20/39   10,617 
 11,764,393      GNMA   3.700   08/15/40   12,346 
 97,691      GNMA   4.500   08/20/41   108 
 342,680      GNMA   4.500   09/20/41   377 
 34,560,824      GNMA   3.500   10/20/42   6,573 
 72,731      GNMA   4.500   01/20/44   80 
 90,311      GNMA   4.500   02/20/44   99 
 1,100,841      GNMA   4.500   05/20/44   1,212 
 145,314      GNMA   4.500   05/20/44   160 
 1,090,541      GNMA   4.500   08/20/44   1,200 
 1,101,788      GNMA   4.500   09/20/44   1,212 
 392,368      GNMA   4.500   10/20/44   430 
 297,568      GNMA   4.500   11/20/44   320 
 744,245      GNMA   4.500   12/20/44   819 
 1,102,319      GNMA   4.500   02/20/45   1,213 
 1,361,630      GNMA   4.500   08/20/45   1,498 
 1,201,228      GNMA   4.500   08/20/45   1,323 
 1,215,078      GNMA   4.500   12/20/45   1,338 
 36,737,555      GNMA   3.500   11/20/46   7,373 
 146,536,152      GNMA   3.000   05/20/47   148,157 
 75,836,202      GNMA   3.500   05/20/47   78,615 
 117,950,000      GNMA   3.500   06/20/47   122,271 
 34,000,000      GNMA   4.000   06/20/47   35,892 
 17,000,000   h  GNMA   3.500   07/20/47   17,604 
 9,000,000   h  GNMA   3.500   08/20/47   9,305 
        TOTAL MORTGAGE BACKED               2,694,144 
                      
MUNICIPAL BONDS - 3.2%
 8,155,000      California Housing Finance Agency   1.475   02/01/18   8,153 
 8,045,000      California Housing Finance Agency   1.525   08/01/18   8,043 
 28,410,000      California State University   3.899   11/01/47   29,202 
 10,000,000      City of Dallas TX Waterworks & Sewer System Revenue   0.985   10/01/18   9,923 
 8,725,000      City of Dallas TX Waterworks & Sewer System Revenue   1.217   10/01/19   8,630 
 5,000,000      City of Dallas TX Waterworks & Sewer System Revenue   1.868   10/01/22   4,860 
 2,775,000      City of Dallas TX Waterworks & Sewer System Revenue   2.068   10/01/23   2,703 
 1,350,000      City of Dallas TX Waterworks & Sewer System Revenue   2.389   10/01/25   1,298 
 3,000,000      City of Dallas TX Waterworks & Sewer System Revenue   2.439   10/01/26   2,846 
326

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$3,995,000      City of Los Angeles CA Wastewater System Revenue   4.029%  06/01/39  $4,071 
 2,025,000      City of San Antonio TX Customer Facility Charge Revenue   4.253   07/01/24   2,068 
 1,575,000      City of San Antonio TX Customer Facility Charge Revenue   4.353   07/01/25   1,613 
 20,000,000      City of San Francisco CA Public Utilities Commission Water Revenue   4.035   11/01/41   20,112 
 9,950,000      Commonwealth of Massachusetts   3.277   06/01/46   9,372 
 1,875,000      County of Miami-Dade FL Aviation Revenue   1.885   10/01/21   1,822 
 1,505,000      County of Miami-Dade FL Aviation Revenue   2.218   10/01/22   1,463 
 1,500,000      County of Miami-Dade FL Aviation Revenue   2.368   10/01/23   1,451 
 3,500,000      County of Miami-Dade FL Aviation Revenue   2.504   10/01/24   3,380 
 3,500,000      County of Miami-Dade FL Aviation Revenue   2.604   10/01/25   3,371 
 2,500,000      County of Miami-Dade FL Aviation Revenue   2.704   10/01/26   2,403 
 1,875,000      Imperial Irrigation District Electric System Revenue   0.995   11/01/17   1,872 
 1,895,000      Imperial Irrigation District Electric System Revenue   1.095   11/01/18   1,882 
 5,265,000      Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy   1.125   09/01/19   5,195 
 2,350,000      Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy   1.500   09/01/21   2,279 
 1,000,000      Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy   2.000   09/01/22   982 
 4,805,000      Los Angeles County Redevelopment Refunding Authority Redev Agency Successor Agy   3.375   09/01/35   4,619 
 2,560,000      Michigan Finance Authority   1.941   11/01/21   2,507 
 3,000,000      Michigan Finance Authority   2.244   11/01/22   2,965 
 5,680,000      New York State Dormitory Authority   3.998   07/01/39   5,779 
 6,000,000      New York State Dormitory Authority   3.879   07/01/46   5,757 
 8,000,000      Ohio State University   3.798   12/01/46   8,207 
 2,000,000      Permanent University Fund   1.439   07/01/17   2,000 
 2,625,000      Permanent University Fund   1.730   07/01/18   2,629 
 4,720,000      Permanent University Fund   1.880   07/01/19   4,736 
 2,320,000      Permanent University Fund   2.258   07/01/20   2,347 
 2,160,000      Permanent University Fund   2.408   07/01/21   2,173 
 2,750,000      Permanent University Fund   2.508   07/01/22   2,765 
 2,855,000      Permanent University Fund   2.608   07/01/23   2,866 
 3,250,000      Permanent University Fund   2.708   07/01/24   3,259 
 2,335,000      Permanent University Fund   2.808   07/01/25   2,337 
 3,775,000      Permanent University Fund   2.908   07/01/26   3,781 
 4,000,000      Permanent University Fund   3.008   07/01/27   4,017 
 2,000,000      Port of Corpus Christi Authority of Nueces County   3.138   12/01/22   2,028 
 1,700,000      Port of Corpus Christi Authority of Nueces County   3.287   12/01/23   1,730 
 1,500,000      Port of Corpus Christi Authority of Nueces County   3.387   12/01/24   1,533 
 1,000,000      Port of Corpus Christi Authority of Nueces County   3.487   12/01/25   1,024 
 7,500,000      Port of Morrow OR   1.582   09/01/20   7,389 
 2,075,000      Port of Morrow OR   1.782   09/01/21   2,036 
 1,000,000      Regents of the University of California Medical Center Pooled Revenue   2.037   05/15/23   965 
 1,000,000      Regents of the University of California Medical Center Pooled Revenue   2.259   05/15/24   962 
 1,250,000      Regents of the University of California Medical Center Pooled Revenue   2.359   05/15/25   1,196 
 1,785,000      Regents of the University of California Medical Center Pooled Revenue   2.459   05/15/26   1,699 
327

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$1,600,000      Regents of the University of California Medical Center Pooled Revenue   2.559%  05/15/27  $1,512 
 700,000      Regents of the University of California Medical Center Pooled Revenue   2.659   05/15/28   660 
 900,000      Regents of the University of California Medical Center Pooled Revenue   2.759   05/15/29   847 
 12,000,000      South Carolina Public Service Authority   2.388   12/01/23   11,289 
 3,060,000      State of Georgia   2.000   07/01/20   3,076 
 3,215,000      State of Georgia   2.150   07/01/21   3,224 
 3,465,000      State of Georgia   1.910   02/01/23   3,383 
 3,905,000      State of Georgia   2.750   07/01/25   3,940 
 4,100,000      State of Georgia   2.850   07/01/26   4,133 
 4,305,000      State of Georgia   2.950   07/01/27   4,347 
 4,520,000      State of Georgia   3.050   07/01/28   4,569 
 3,245,000      State of Georgia   3.150   07/01/29   3,285 
 3,200,000      State of Illinois   4.350   06/01/18   3,208 
 7,500,000      State of Illinois   2.000   06/15/19   7,464 
 7,160,000      State of Illinois   5.463   02/01/20   7,341 
 12,500,000      State of Illinois   1.930   06/15/20   12,323 
 12,500,000      State of Illinois   2.250   06/15/21   12,271 
 12,500,000      State of Illinois   3.150   06/15/26   11,764 
 12,500,000      State of Illinois   3.250   06/15/27   11,700 
 20,000,000      State of Michigan   1.579   11/01/20   19,777 
 13,000,000      State of Michigan   1.779   11/01/21   12,791 
 7,000,000      State of Michigan   1.966   11/01/22   6,835 
 9,900,000      State of Wisconsin   3.154   05/01/27   9,952 
 6,000,000      University of California   2.570   05/15/22   6,070 
 17,045,000      University of California   3.931   05/15/45   17,497 
 20,000,000      University of New Mexico   3.532   06/20/32   20,320 
 500,000      Utah Municipal Power Agency   1.630   07/01/19   497 
 835,000      Utah Municipal Power Agency   1.823   07/01/20   826 
 500,000      Utah Municipal Power Agency   2.023   07/01/21   493 
 1,750,000      Utah Municipal Power Agency   2.262   07/01/22   1,722 
 1,500,000      Utah Municipal Power Agency   2.512   07/01/23   1,485 
 2,160,000      Virginia Port Authority   4.228   07/01/36   2,172 
        TOTAL MUNICIPAL BONDS               433,073 
                      
U.S. TREASURY SECURITIES - 14.4%
 2,185,000      United States Treasury Bond   5.250   11/15/28   2,814 
 100,686,000      United States Treasury Bond   5.375   02/15/31   135,411 
 65,602,000      United States Treasury Bond   4.500   02/15/36   84,783 
 4,500,000      United States Treasury Bond   4.750   02/15/37   6,002 
 38,000,000      United States Treasury Bond   3.500   02/15/39   42,986 
 11,900,000      United States Treasury Bond   3.875   08/15/40   14,176 
 19,135,000      United States Treasury Bond   4.375   05/15/41   24,557 
 16,434,000      United States Treasury Bond   3.750   08/15/41   19,261 
 56,375,000      United States Treasury Bond   3.625   08/15/43   64,935 
 35,680,000      United States Treasury Bond   3.000   05/15/45   36,823 
 81,710,000      United States Treasury Bond   2.875   08/15/45   82,294 
 102,850,000      United States Treasury Bond   2.500   05/15/46   95,855 
 48,755,000      United States Treasury Bond   3.000   02/15/47   50,381 
 67,000,000      United States Treasury Bond   3.000   05/15/47   69,267 
 3,000,000      United States Treasury Note   1.000   12/31/17   2,998 
 200,000      United States Treasury Note   0.750   02/28/18   199 
 14,345,000      United States Treasury Note   0.875   03/31/18   14,303 
 120,000,000      United States Treasury Note   0.875   05/31/18   119,578 
328

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$32,200,000      United States Treasury Note   0.625%  06/30/18  $31,996 
 37,665,000      United States Treasury Note   0.875   07/15/18   37,505 
 12,100,000      United States Treasury Note   2.250   07/31/18   12,223 
 12,700,000      United States Treasury Note   0.750   08/31/18   12,616 
 9,966,900      United States Treasury Note   1.375   09/30/18   9,971 
 71,675,000      United States Treasury Note   0.750   10/31/18   71,124 
 1,365,000      United States Treasury Note   1.750   10/31/18   1,373 
 5,325,000      United States Treasury Note   1.000   11/30/18   5,299 
 9,115,000      United States Treasury Note   1.250   12/31/18   9,100 
 10,950,000      United States Treasury Note   1.125   01/31/19   10,911 
 17,775,000      United States Treasury Note   1.000   03/15/19   17,665 
 1,100,000      United States Treasury Note   1.250   03/31/19   1,098 
 1,195,000      United States Treasury Note   0.875   04/15/19   1,185 
 5,400,000      United States Treasury Note   1.250   04/30/19   5,387 
 73,790,000      United States Treasury Note   1.250   05/31/19   73,614 
 3,000,000      United States Treasury Note   1.375   02/15/20   2,990 
 4,790,000      United States Treasury Note   1.625   03/15/20   4,805 
 9,225,000      United States Treasury Note   1.500   05/15/20   9,214 
 21,800,000      United States Treasury Note   1.625   07/31/20   21,826 
 3,000,000      United States Treasury Note   1.750   12/31/20   3,008 
 750,000      United States Treasury Note   1.375   01/31/21   742 
 825,000      United States Treasury Note   2.125   01/31/21   837 
 12,589,300      United States Treasury Note   1.125   02/28/21   12,333 
 12,720,000      United States Treasury Note   2.000   02/28/21   12,861 
 18,635,000      United States Treasury Note   1.375   04/30/21   18,397 
 3,240,000      United States Treasury Note   2.250   04/30/21   3,303 
 1,040,000      United States Treasury Note   1.375   05/31/21   1,025 
 16,465,000      United States Treasury Note   2.000   05/31/21   16,632 
 1,730,000      United States Treasury Note   2.125   06/30/21   1,755 
 11,825,000      United States Treasury Note   2.000   08/31/21   11,928 
 133,872,000      United States Treasury Note   8.000   11/15/21   168,647 
 21,575,000      United States Treasury Note   1.875   01/31/22   21,600 
 72,575,000      United States Treasury Note   1.750   02/28/22   72,260 
 1,710,000      United States Treasury Note   1.750   03/31/22   1,701 
 1,600,000      United States Treasury Note   1.875   03/31/22   1,601 
 8,000,000      United States Treasury Note   1.750   04/30/22   7,953 
 51,523,000      United States Treasury Note   1.750   05/31/22   51,215 
 4,565,000      United States Treasury Note   2.125   06/30/22   4,614 
 23,000,000      United States Treasury Note   2.000   07/31/22   23,100 
 106,110,000      United States Treasury Note   1.875   08/31/22   105,886 
 26,465,000      United States Treasury Note   1.750   09/30/22   26,222 
 500,000      United States Treasury Note   1.750   01/31/23   494 
 1,875,000      United States Treasury Note   1.625   04/30/23   1,834 
 510,000      United States Treasury Note   1.375   06/30/23   491 
 500,000      United States Treasury Note   1.250   07/31/23   477 
 16,720,000      United States Treasury Note   1.375   09/30/23   16,046 
 15,000,000      United States Treasury Note   1.625   10/31/23   14,607 
 15,705,000      United States Treasury Note   2.250   12/31/23   15,858 
 22,000,000      United States Treasury Note   2.125   02/29/24   22,021 
 60,270,000      United States Treasury Note   2.000   05/31/24   59,769 
 64,337,000      United States Treasury Note   2.375   05/15/27   64,752 
        TOTAL U.S. TREASURY SECURITIES               1,970,494 
                      
        TOTAL GOVERNMENT BONDS            6,037,520 
        (Cost $5,999,472)             
329

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
STRUCTURED ASSETS - 17.4%
                
ASSET BACKED - 7.6%
$398,919   i  ACE Securities Corp Home Equity Loan Trust   1.951%  08/25/35  $399 
        Series - 2005 HE5 (Class M2)             
 11,450,000      Ally Auto Receivables Trust   2.100   03/15/22   11,478 
        Series - 2017 2 (Class A4)             
 371,300      AmeriCredit Automobile Receivables Trust   1.790   03/08/19   371 
        Series - 2013 2 (Class C)             
 18,920,000      AmeriCredit Automobile Receivables Trust   2.420   05/08/19   18,951 
        Series - 2013 2 (Class D)             
 3,592,066      AmeriCredit Automobile Receivables Trust   2.720   09/09/19   3,600 
        Series - 2013 4 (Class C)             
 1,550,000      AmeriCredit Automobile Receivables Trust   2.400   01/08/21   1,562 
        Series - 2015 2 (Class C)             
 3,500,000      AmeriCredit Automobile Receivables Trust   1.460   05/10/21   3,490 
        Series - 2016 3 (Class A3)             
 5,250,000      AmeriCredit Automobile Receivables Trust   1.530   07/08/21   5,229 
        Series - 2016 4 (Class A3)             
 12,805,000      AmeriCredit Automobile Receivables Trust   3.340   08/08/21   12,985 
        Series - 2015 3 (Class D)             
 10,500,000      AmeriCredit Automobile Receivables Trust   1.870   08/18/21   10,496 
        Series - 2017 1 (Class A3)             
 5,500,000      AmeriCredit Automobile Receivables Trust   2.740   12/08/22   5,462 
        Series - 2016 4 (Class D)             
 74,236   g  Asset Backed Funding Corp NIM Trust   5.900   07/26/35    0^
        Series - 2006 WMC1 (Class N1)             
 5,000,000   g,i  Aventura Mall Trust   3.867   12/05/32   5,110 
        Series - 2013 AVM (Class E)             
 3,500,000   g,i  Aventura Mall Trust   3.867   12/05/32   3,646 
        Series - 2013 AVM (Class B)             
 1,000,000   g,i  Aventura Mall Trust   3.867   12/05/32   1,032 
        Series - 2013 AVM (Class C)             
 2,701,000   g  Avis Budget Rental Car Funding AESOP LLC   1.920   09/20/19   2,700 
        Series - 2013 1A (Class A)             
 12,000,000   g  Avis Budget Rental Car Funding AESOP LLC   3.070   09/20/23   11,985 
        Series - 2017 1A (Class A)             
 2,500,000   g  Bowman Park CLO Ltd   3.545   11/23/25   2,523 
        Series - 2014 1A (Class B2R)             
 6,240,888      Capital Auto Receivables Asset Trust   1.620   03/20/19   6,243 
        Series - 2015 4 (Class A2)             
 3,500,000      Capital Auto Receivables Asset Trust   1.630   01/20/21   3,488 
        Series - 2016 2 (Class A4)             
 5,250,000      Capital Auto Receivables Asset Trust   1.690   03/20/21   5,238 
        Series - 2016 3 (Class A4)             
 8,000,000   g  Capital Automotive REIT   3.660   10/15/44   8,026 
        Series - 2014 1A (Class A)             
 6,988,333   g  Capital Automotive REIT   3.870   04/15/47   7,071 
        Series - 2017 1A (Class A1)             
 29,000,000      Capital One Multi-Asset Execution Trust   2.430   01/15/25   29,391 
        Series - 2017 A3 (Class A3)             
330

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$3,000,000      CarMax Auto Owner Trust   1.680%  09/15/21  $2,978 
        Series - 2016 2 (Class A4)             
 3,000,000      CarMax Auto Owner Trust   1.600   01/18/22   2,968 
        Series - 2016 3 (Class A4)             
 4,850,000      CarMax Auto Owner Trust   2.250   09/15/22   4,851 
        Series - 2017 2 (Class A4)             
 448,582   i,m  CCR, Inc   1.439   07/10/17   448 
        Series - 2010 CX (Class C)             
 2,500,000   g  Cent CLO 21 Ltd   3.500   07/27/26   2,539 
        Series - 2014 21A (Class A2BR)             
 468,575   i  Chase Funding Mortgage Loan Asset-Backed Certificates   5.700   02/26/35   413 
        Series - 2004 2 (Class 1M2)             
 680,689   i  CIT Group Home Equity Loan Trust   6.200   02/25/30   691 
        Series - 2002 1 (Class AF6) (Step Bond)             
 5,500,000      CNH Equipment Trust   1.630   08/15/21   5,490 
        Series - 2016 B (Class A3)             
 7,000,000      CNH Equipment Trust   1.440   12/15/21   6,951 
        Series - 2016 C (Class A3)             
 7,500,000      CNH Equipment Trust   2.480   02/15/24   7,571 
        Series - 2017 A (Class A4)             
 5,250,000   g  DaimlerChrysler Capital Auto Receivables Trust   1.640   07/15/21   5,235 
        Series - 2016 BA (Class A3)             
 7,820,000   g  DB Master Finance LLC   3.262   02/20/45   7,867 
        Series - 2015 1A (Class A2I)             
 14,173,750   g  DB Master Finance LLC   3.980   02/20/45   14,533 
        Series - 2015 1A (Class A2II)             
 5,000,000      Discover Card Execution Note Trust   2.390   07/15/24   5,045 
        Series - 2017 A2 (Class A2)             
 65,130,667   g  Domino’s Pizza Master Issuer LLC   5.216   01/25/42   65,162 
        Series - 2012 1A (Class A2)             
 16,787,500   g  Domino’s Pizza Master Issuer LLC   3.484   10/25/45   16,954 
        Series - 2015 1A (Class A2I)             
 2,468,750   g  Domino’s Pizza Master Issuer LLC   4.474   10/25/45   2,547 
        Series - 2015 1A (Class A2II)             
 65,000,000   g,h  Domino’s Pizza Master Issuer LLC   3.082   07/25/47   64,685 
        Series - 2017 1A (Class A2II)             
 6,500,000   g  FOCUS Brands Funding LLC   3.857   04/30/47   6,589 
        Series - 2017 1A (Class A2I)             
 16,000,000      Ford Credit Auto Lease Trust   1.880   04/15/20   16,017 
        Series - 2017 A (Class A3)             
 18,000,000   g  Ford Credit Auto Owner Trust   2.150   07/15/26   18,071 
        Series - 2015 1 (Class A)             
 17,400,000   g  Ford Credit Auto Owner Trust   2.440   01/15/27   17,586 
        Series - 2015 2 (Class A)             
 3,500,000   g  Ford Credit Auto Owner Trust   2.310   08/15/27   3,518 
        Series - 2016 1 (Class A)             
 16,500,000   g  Ford Credit Auto Owner Trust   2.030   12/15/27   16,378 
        Series - 2016 2 (Class A)             
 12,000,000   g  Ford Credit Auto Owner Trust   2.620   08/15/28   12,143 
        Series - 2017 1 (Class A)             
 3,500,000      Ford Credit Floorplan Master Owner Trust   2.070   05/15/22   3,500 
        Series - 2017 1 (Class A1)             
 5,000,000      Ford Credit Floorplan Master Owner Trust   2.390   08/15/22   5,046 
        Series - 2015 5 (Class A)             
331

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$4,000,000      GM Financial Automobile Leasing Trust   2.060%  05/20/20  $4,013 
        Series - 2017 1 (Class A3)             
 4,000,000      GM Financial Automobile Leasing Trust   2.020   09/21/20   3,995 
        Series - 2017 2 (Class A3)             
 3,500,000   g  GMF Floorplan Owner Revolving Trust   1.960   05/17/21   3,506 
        Series - 2016 1 (Class A1)             
 5,705,000   g  Hertz Vehicle Financing LLC   1.830   08/25/19   5,687 
        Series - 2013 1A (Class A2)             
 5,000,000   g  Hertz Vehicle Financing LLC   2.320   03/25/20   4,983 
        Series - 2016 1A (Class A)             
 4,875,000   g  Hertz Vehicle Financing LLC   2.270   07/25/20   4,835 
        Series - 2016 3A (Class A)             
 10,979,434   g  Hilton Grand Vacations Trust   2.660   12/26/28   10,984 
        Series - 2017 AA (Class A)             
 6,404,670   g,i  Hilton Grand Vacations Trust   2.960   12/26/28   6,430 
        Series - 2017 AA (Class B)             
 1,267,880   i  Irwin Home Equity Corp   1.976   02/25/34   1,254 
        Series - 2005 A (Class A3)             
 10,668,986   g  JG Wentworth XXII LLC   3.820   12/15/48   10,776 
        Series - 2010 3A (Class A)             
 4,000,000      John Deere Owner Trust   2.110   12/15/23   4,022 
        Series - 2017 A (Class A4)             
 1,835,296   i  Lehman XS Trust   1.466   02/25/36   1,811 
        Series - 2006 1 (Class 1A1)             
 5,205,677   i  Lehman XS Trust   6.500   06/25/46   4,480 
        Series - 2006 13 (Class 2A1)             
 5,000,000   g  Madison Park Funding XIII Ltd   3.300   01/19/25   4,982 
        Series - 2014 13A (Class B2R)             
 7,000,000   g,i  Navistar Financial Dealer Note Master Owner Trust II   2.566   09/27/21   7,037 
        Series - 2016 1 (Class A)             
 27,633,375   g,i  New Residential Mortgage Loan Trust   4.000   02/25/57   28,726 
        Series - 2017 1A (Class A1)             
 3,500,000   g  OHA Loan Funding LLC   3.600   10/20/26   3,533 
        Series - 2014 1A (Class B2R)             
 1,080,082   g  OneMain Direct Auto Receivables Trust   2.040   01/15/21   1,081 
        Series - 2016 1A (Class A)             
 120,794   g  OneMain Financial Issuance Trust   2.430   06/18/24   121 
        Series - 2014 1A (Class A)             
 8,840,000   g  Palisades Center Trust   3.357   04/13/33   8,881 
        Series - 2016 PLSD (Class B)             
 17,822   i  Renaissance Home Equity Loan Trust   2.096   08/25/33   17 
        Series - 2003 2 (Class A)             
 793,911   i  Residential Funding Mortgage Securities II, Inc   5.950   08/25/34   801 
        Series - 2005 HI1 (Class A5) (Step Bond)             
 408,195   i  Residential Funding Mortgage Securities II, Inc   6.010   02/25/36   409 
        Series - 2006 HI1 (Class M1) (Step Bond)             
 275,626   i  Residential Funding Mortgage Securities II, Inc   6.060   02/25/36   288 
        Series - 2006 HI1 (Class M2) (Step Bond)             
 5,197,259      Santander Drive Auto Receivables Trust   2.270   01/15/19   5,204 
        Series - 2013 2013-1 (Class D)             
 4,410,000      Santander Drive Auto Receivables Trust   2.570   03/15/19   4,422 
        Series - 2013 2 (Class D)             
332

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$195,379      Santander Drive Auto Receivables Trust   1.810%  04/15/19  $195 
        Series - 2013 3 (Class C)             
 4,625,000      Santander Drive Auto Receivables Trust   2.420   04/15/19   4,641 
        Series - 2013 3 (Class D)             
 26,894,538      Santander Drive Auto Receivables Trust   2.250   06/17/19   26,937 
        Series - 2013 5 (Class C)             
 422,754      Santander Drive Auto Receivables Trust   1.410   07/15/19   423 
        Series - 2016 1 (Class A2A)             
 6,273,775   g  Santander Drive Auto Receivables Trust   3.120   10/15/19   6,292 
        Series - 2013 A (Class C)             
 5,325,000      Santander Drive Auto Receivables Trust   2.910   04/15/20   5,375 
        Series - 2014 1 (Class D)             
 4,500,000      Santander Drive Auto Receivables Trust   1.560   05/15/20   4,499 
        Series - 2016 2 (Class A3)             
 600,000      Santander Drive Auto Receivables Trust   1.960   05/15/20   601 
        Series - 2015 5 (Class B)             
 8,603,623      Santander Drive Auto Receivables Trust   2.130   08/17/20   8,619 
        Series - 2014 3 (Class C)             
 9,000,000      Santander Drive Auto Receivables Trust   1.770   09/15/20   9,003 
        Series - 2017 1 (Class A3)             
 3,500,000      Santander Drive Auto Receivables Trust   1.870   12/15/20   3,497 
        Series - 2017 2 (Class A3)             
 600,000      Santander Drive Auto Receivables Trust   2.740   12/15/21   603 
        Series - 2015 5 (Class C)             
 6,000,000      Santander Drive Auto Receivables Trust   2.800   08/15/22   5,975 
        Series - 2016 3 (Class D)             
 8,000,000      Santander Drive Auto Receivables Trust   3.170   04/17/23   7,986 
        Series - 2017 1 (Class D)             
 149,816   g  Sierra Receivables Funding Co LLC   1.590   11/20/29   150 
        Series - 2013 1A (Class A)             
 3,606,581   g  Sierra Receivables Funding Co LLC   2.700   10/20/30   3,611 
        Series - 2013 3A (Class B)             
 3,421,180   g,i  Sierra Receivables Funding Co LLC   2.050   06/20/31   3,416 
        Series - 2014 2A (Class A)             
 1,408,721   g,i  Sierra Receivables Funding Co LLC   2.400   06/20/31   1,406 
        Series - 2014 2A (Class B)             
 4,290,111   g  Sierra Receivables Funding Co LLC   2.400   03/22/32   4,292 
        Series - 2015 1A (Class A)             
 24,198,658   g  Sierra Receivables Funding Co LLC   2.910   03/20/34   24,397 
        Series - 2017 1A (Class A)             
 1,064,145   g  Sierra Receivables Funding Co LLC   3.200   03/20/34   1,072 
        Series - 2017 1A (Class B)             
 4,184,375   g  Sierra Timeshare Receivables Funding LLC   2.580   09/20/32   4,193 
        Series - 2015 3A (Class A)             
 993,913   g  Sierra Timeshare Receivables Funding LLC   3.080   09/20/32   997 
        Series - 2015 3A (Class B)             
 3,759,054   g  Sierra Timeshare Receivables Funding LLC   3.080   03/21/33   3,798 
        Series - 2016 1A (Class A)             
 8,804,417   g  Sierra Timeshare Receivables Funding LLC   2.330   07/20/33   8,800 
        Series - 2016 2A (Class A)             
 1,965,272   g  Sierra Timeshare Receivables Funding LLC   2.780   07/20/33   1,964 
        Series - 2016 2A (Class B)             
 9,086,304   g  Sierra Timeshare Receivables Funding LLC   2.430   10/20/33   9,011 
        Series - 2016 3A (Class A)             
333

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$5,384,476   g  Sierra Timeshare Receivables Funding LLC   2.630%  10/20/33  $5,324 
        Series - 2016 3A (Class B)             
 9,188,210   g  SLM Student Loan Trust   3.740   02/15/29   9,367 
        Series - 2011 B (Class A2)             
 6,743,000   g  SMB Private Education Loan Trust   2.490   06/15/27   6,770 
        Series - 2015 A (Class A2A)             
 12,360,000   g  SMB Private Education Loan Trust   2.750   07/15/27   12,505 
        Series - 2015 C (Class A2A)             
 13,703,000   g  SMB Private Education Loan Trust   2.430   02/17/32   13,583 
        Series - 2016 B (Class A2A)             
 16,020,000   g  SMB Private Education Loan Trust   2.880   09/15/34   16,148 
        Series - 2017 A (Class A2A)             
 5,460,854   g  SoFi Professional Loan Program LLC   1.530   04/25/33   5,454 
        Series - 2016 D (Class A2A)             
 3,955,000   g  SoFi Professional Loan Program LLC   2.340   04/25/33   3,919 
        Series - 2016 D (Class A2B)             
 15,150,000   g  SoFi Professional Loan Program LLC   2.490   01/25/36   15,118 
        Series - 2016 E (Class A2B)             
 4,246,556   g  SoFi Professional Loan Program LLC   2.760   12/26/36   4,288 
        Series - 2016 A (Class A2)             
 2,750,513   g  SoFi Professional Loan Program LLC   1.550   03/26/40   2,744 
        Series - 2017 A (Class A2A)             
 1,925,000   g  SoFi Professional Loan Program LLC   2.400   03/26/40   1,907 
        Series - 2017 A (Class A2B)             
 23,479,183   g  SoFi Professional Loan Program LLC   1.830   05/25/40   23,460 
        Series - 2017 B (Class A1FX)             
 13,050,000   g  SoFi Professional Loan Program LLC   2.740   05/25/40   13,122 
        Series - 2017 B (Class A2FX)             
 1,000,000   g  SoFi Professional Loan Program LLC   2.630   07/25/40   998 
        Series - 2017 C (Class A2B)             
 3,793,656   g  SolarCity LMC   4.590   04/20/44   3,770 
        Series - 2014 1 (Class A)             
 27,082,901   g  SpringCastle America Funding LLC   3.050   04/25/29   27,243 
        Series - 2016 AA (Class A)             
 13,150,625   g  Taco Bell Funding LLC   3.832   05/25/46   13,444 
        Series - 2016 1A (Class A2I)             
 12,548,000      UBS Commercial Mortgage Trust   3.256   06/15/50   12,820 
        Series - 2017 C1 (Class ASB)             
 5,304,000   g  Verizon Owner Trust   1.680   05/20/21   5,290 
        Series - 2016 2A (Class A)             
 3,000,000   g  Verizon Owner Trust   2.060   09/20/21   3,011 
        Series - 2017 1A (Class A)             
 25,000,000   g  Verizon Owner Trust   1.920   12/20/21   24,996 
        Series - 2017 2A (Class A)             
 1,890,000   g  Vornado DP LLC   5.280   09/13/28   2,016 
        Series - 2010 VNO (Class C)             
 496,394   g,m  Wachovia Amortization Controlled Heloc NIM   5.683   08/12/47   500 
        Series - 2006 N1 (Class N1)             
 581,172   g,i  Wachovia Loan Trust   1.576   05/25/35   577 
        Series - 2005 SD1 (Class A)             
 34,387,500   g  Wendys Funding LLC   3.371   06/15/45   34,683 
        Series - 2015 1A (Class A2I)             
334

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$3,000,000      World Financial Network Credit Card Master Trust   2.030%  04/15/25  $2,964 
        Series - 2016 A (Class A)             
 5,000,000      World Omni Auto Receivables Trust   2.240   06/15/23   5,015 
        Series - 2017 A (Class A4)             
 5,932,000      World Omni Automobile Lease Securitization Trust   1.610   01/15/22   5,911 
        Series - 2016 A (Class A4)             
        TOTAL ASSET BACKED               1,037,230 
                      
OTHER MORTGAGE BACKED - 9.8%
 3,833,012   g  Banc of America Commercial Mortgage Trust   5.416   01/15/49   3,855 
        Series - 2007 1 (Class AM)             
 5,311,094   i  Banc of America Commercial Mortgage Trust   5.482   01/15/49   5,305 
        Series - 2007 1 (Class AMFX)             
 12,000,000      Banc of America Commercial Mortgage Trust   3.019   07/15/49   12,068 
        Series - 2016 UB10 (Class ASB)             
 1,160,000   g,i  Banc of America Commercial Mortgage Trust   5.821   02/10/51   1,137 
        Series - 2007 4 (Class E)             
 5,000,000   i  Banc of America Commercial Mortgage Trust   5.971   02/10/51   5,079 
        Series - 2007 5 (Class AJ)             
 3,065,000   g,i  Banc of America Commercial Mortgage Trust   6.000   02/10/51   3,049 
        Series - 2007 4 (Class D)             
 15,000,000      BANK   3.419   05/15/50   15,524 
        Series - 2017 BNK4 (Class ASB)             
 15,000,000      BBCMS Mortgage Trust   3.488   02/15/50   15,542 
        Series - 2017 C1 (Class ASB)             
 21,825,000   i  Bear Stearns Commercial Mortgage Securities Trust   6.136   09/11/42   21,910 
        Series - 2007 T28 (Class AJ)             
 2,500,000   i  Bear Stearns Commercial Mortgage Securities Trust   5.878   06/11/50   2,522 
        Series - 2007 PW17 (Class AJ)             
 2,500,000   i  CD Mortgage Trust   6.122   11/15/44   2,512 
        Series - 2007 CD5 (Class B)             
 4,500,000      CD Mortgage Trust   2.622   08/10/49   4,447 
        Series - 2016 CD1 (Class ASB)             
 8,000,000   g  CGBAM Commercial Mortgage Trust   3.516   04/10/28   8,117 
        Series - 2015 SMRT (Class C)             
 9,000,000   g  CGBAM Commercial Mortgage Trust   3.768   04/10/28   9,132 
        Series - 2015 SMRT (Class D)             
 5,872,007   i  CHL Mortgage Pass-Through Trust   3.348   02/20/35   5,912 
        Series - 2004 HYB9 (Class 1A1)             
 3,000,000   g  Citigroup Commercial Mortgage Trust   2.228   09/10/31   2,965 
        Series - 2016 SMPL (Class A)             
 2,500,000   g  Citigroup Commercial Mortgage Trust   2.576   09/10/31   2,465 
        Series - 2016 SMPL (Class B)             
 3,843,985      Citigroup Commercial Mortgage Trust   1.506   05/10/49   3,806 
        Series - 2016 C1 (Class A1)             
 6,500,000      Citigroup Commercial Mortgage Trust   3.003   05/10/49   6,561 
        Series - 2016 C1 (Class AAB)             
 3,258,958   i  COBALT CMBS Commercial Mortgage Trust   5.771   05/15/46   3,287 
        Series - 2007 C3 (Class AM)             
 16,626,000   i  COBALT CMBS Commercial Mortgage Trust   5.771   05/15/46   17,021 
        Series - 2007 C3 (Class AJ)             
 618,828      COMM Mortgage Trust   1.399   02/10/48   616 
        Series - 2015 LC19 (Class A1)             
335

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$14,500,000      COMM Mortgage Trust   3.421%  07/10/48  $15,115 
        Series - 2015 LC21 (Class ASB)             
 1,799,178   g,i  COMM Mortgage Trust   1.684   12/10/49   1,798 
        Series - 2007 C9 (Class AJFL)             
 784,442   i  COMM Mortgage Trust   5.650   12/10/49   784 
        Series - 2007 C9 (Class AJ)             
 20,271,351   i  COMM Mortgage Trust   5.796   12/10/49   20,259 
        Series - 2007 C9 (Class B)             
 3,500,000   i  COMM Mortgage Trust   5.813   12/10/49   3,495 
        Series - 2007 C9 (Class F)             
 1,000,000   i  COMM Mortgage Trust   5.991   12/10/49   999 
        Series - 2007 C9 (Class C)             
 3,776,544      COMM Mortgage Trust   1.667   07/10/50   3,775 
        Series - 2015 PC1 (Class A1)             
 9,020,096   i  Connecticut Avenue Securities   3.366   09/25/28   9,149 
        Series - 2016 C02 (Class 1M1)             
 12,364,851   i  Connecticut Avenue Securities   2.566   01/25/29   12,466 
        Series - 2016 C05 (Class 2M1)             
 37,891,768   i  Connecticut Avenue Securities   2.666   01/25/29   38,365 
        Series - 2016 C04 (Class 1M1)             
 8,656,508   i  Connecticut Avenue Securities   2.516   04/25/29   8,777 
        Series - 2016 C06 (Class 1M1)             
 12,664,973   g,i  Connecticut Avenue Securities   2.165   07/25/29   12,800 
        Series - 2017 C01 (Class 1M1)             
 7,736,407   i  Connecticut Avenue Securities   2.166   10/25/29   7,774 
        Series - 2017 C03 (Class 1M1)             
 12,133,000   i  Credit Suisse Commercial Mortgage Trust   5.903   09/15/39   12,426 
        Series - 2007 C4 (Class A1AJ)             
 15,500,000   i  Credit Suisse Commercial Mortgage Trust   5.949   09/15/39   15,813 
        Series - 2007 C4 (Class AJ)             
 1,133,486   i  Credit Suisse Commercial Mortgage Trust   5.953   09/15/39   1,132 
        Series - 2007 C4 (Class A1AM)             
 3,927,390   i  Credit Suisse Commercial Mortgage Trust   5.625   01/15/49   4,027 
        Series - 2007 C2 (Class AJ)             
 6,144,500   g,i  Credit Suisse Commercial Mortgage Trust   5.751   01/15/49   6,237 
        Series - 2007 C2 (Class B)             
 4,689,000   g,i  Credit Suisse Commercial Mortgage Trust   5.897   01/15/49   5,868 
        Series - 2007 C2 (Class C)             
 11,500,000   g  Credit Suisse Mortgage Capital Certificates   5.626   05/15/23   12,246 
        Series - 2006 OMA (Class D)             
 5,500,000      CSAIL Commercial Mortgage Trust   3.314   11/15/49   5,665 
        Series - 2016 C7 (Class ASB)             
 14,580,000      CSAIL Commercial Mortgage Trust   3.186   06/15/50   14,899 
        Series - 2017 C8 (Class ASB)             
 11,690,557      CSAIL Commercial Mortgage Trust   1.454   06/15/57   11,627 
        Series - 2015 C2 (Class A1)             
 11,000,000      DBJPM Mortgage Trust   2.756   09/10/49   10,988 
        Series - 2016 C3 (Class ASB)             
 10,000,000      DBJPM Mortgage Trust   3.121   06/10/50   10,173 
        Series - 2017 C6 (Class ASB)             
 30,000,000   g  DBUBS Mortgage Trust   4.537   07/10/44   32,144 
        Series - 2011 LC2A (Class A4)             
 3,000,000   g,i  DBUBS Mortgage Trust   4.998   07/10/44   3,241 
        Series - 2011 LC2A (Class B)             
336

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$5,000,000   g,i  DBUBS Mortgage Trust   5.727%  07/10/44  $5,441 
        Series - 2011 LC2A (Class C)             
 2,636,136   g,i  DBUBS Mortgage Trust   2.468   07/12/44   2,646 
        Series - 2011 LC2A (Class A3FL)             
 2,084,000   g,i  DBUBS Mortgage Trust   5.510   08/10/44   2,272 
        Series - 2011 LC3A (Class B)             
 9,800,000   g,i  DBUBS Mortgage Trust   5.510   08/10/44   10,781 
        Series - 2011 LC3A (Class AM)             
 5,525,000   g,i  DBUBS Mortgage Trust   5.871   11/10/46   6,035 
        Series - 2011 LC1A (Class C)             
 4,935,549   g  Four Times Square Trust Commercial Mortgage Pass-Through Certificates5.401   12/13/28   5,407 
        Series - 2006 4TS (Class A)             
 19,679,135   i  GE Commercial Mortgage Corp   5.606   12/10/49   19,852 
        Series - 2007 C1 (Class AM)             
 3,665,000   i  GMAC Commercial Mortgage Securities, Inc   4.984   12/10/41   3,746 
        Series - 2004 C3 (Class C)             
 21,180,000   g  GRACE Mortgage Trust   3.369   06/10/28   21,996 
        Series - 2014 GRCE (Class A)             
 5,000,000   g  GRACE Mortgage Trust   3.520   06/10/28   5,138 
        Series - 2014 GRCE (Class B)             
 4,178,904   i  Greenwich Capital Commercial Funding Corp   6.013   07/10/38   4,177 
        Series - 2006 GG7 (Class AM)             
 28,000,000   i  Greenwich Capital Commercial Funding Corp   5.867   12/10/49   28,075 
        Series - 2007 GG11 (Class AM)             
 3,000,000   g  GS Mortgage Securities Corp II   2.933   06/05/31   3,052 
        Series - 2012 SHOP (Class A)             
 15,943,000   g  GS Mortgage Securities Corp II   3.551   04/10/34   16,718 
        Series - 2012 ALOH (Class A)             
 5,910,000   g,i  GS Mortgage Securities Corp II   5.356   12/10/43   6,339 
        Series - 2010 C2 (Class B)             
 10,000,000      GS Mortgage Securities Trust   2.777   10/10/49   10,004 
        Series - 2016 GS3 (Class AAB)             
 12,000,000      GS Mortgage Securities Trust   3.230   05/10/50   12,319 
        Series - 2017 GS6 (Class AAB)             
 6,000,000   g  Hudson Yards Mortgage Trust   2.835   08/10/38   5,854 
        Series - 2016 10HY (Class A)             
 7,250,000   g,i  Hudson Yards Mortgage Trust   3.076   08/10/38   6,959 
        Series - 2016 10HY (Class C)             
 2,500,000   g,i  Hudson Yards Mortgage Trust   3.076   08/10/38   2,437 
        Series - 2016 10HY (Class B)             
 1,007,123   i  Impac CMB Trust   1.876   03/25/35   936 
        Series - 2004 11 (Class 2A1)             
 1,705,499   i  JP Morgan Chase Commercial Mortgage Securities Trust5.520   05/15/45   1,704 
        Series - 2006 LDP8 (Class B)             
 12,830,000   g  JP Morgan Chase Commercial Mortgage Securities Trust4.717   02/15/46   13,726 
        Series - 2011 C3 (Class A4)             
 8,145,000   g,i  JP Morgan Chase Commercial Mortgage Securities Trust5.360   02/15/46   8,648 
        Series - 2011 C3 (Class C)             
 2,000,000   g,i  JP Morgan Chase Commercial Mortgage Securities Trust5.801   02/15/46   1,985 
        Series - 2011 C3 (Class E)             
337

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$1,294,636   g  JP Morgan Chase Commercial Mortgage Securities Trust4.106%  07/15/46  $1,317 
        Series - 2011 C4 (Class A3)             
 8,825,000   g  JP Morgan Chase Commercial Mortgage Securities Trust4.388   07/15/46   9,409 
        Series - 2011 C4 (Class A4)             
 15,000,000   g  JP Morgan Chase Commercial Mortgage Securities Trust4.801   07/15/46   16,045 
        Series - 2011 C4 (Class B)             
 6,455,000   g,i  JP Morgan Chase Commercial Mortgage Securities Trust5.581   07/15/46   6,950 
        Series - 2011 C4 (Class C)             
 8,231,396      JP Morgan Chase Commercial Mortgage Securities Trust1.324   08/15/49   8,128 
        Series - 2016 JP2 (Class A1)             
 7,000,000      JP Morgan Chase Commercial Mortgage Securities Trust2.713   08/15/49   6,995 
        Series - 2016 JP2 (Class ASB)             
 3,314,013   i  JP Morgan Chase Commercial Mortgage Securities Trust6.192   02/15/51   3,360 
        Series - 2007 LD12 (Class AM)             
 2,503,190   g,i  JP Morgan Mortgage Trust   2.679   06/25/46   2,509 
        Series - 2016 2 (Class A1)             
 2,281,188   g,i  JP Morgan Mortgage Trust   2.856   06/25/46   2,290 
        Series - 2016 2 (Class 2A1)             
 63,266,000   i  JPMCC Commercial Mortgage Securities Trust   1.332   07/15/50   5,209 
        Series - 2017 JP6 (Class XA)             
 6,148,000      JPMDB Commercial Mortgage Securities Trust   3.492   03/15/50   6,400 
        Series - 2017 C5 (Class ASB)             
 118,917   i  LB-UBS Commercial Mortgage Trust   5.533   02/15/40   119 
        Series - 2007 C1 (Class C)             
 4,150,000   i  LB-UBS Commercial Mortgage Trust   5.563   02/15/40   4,134 
        Series - 2007 C1 (Class D)             
 597,008   i  LB-UBS Commercial Mortgage Trust   6.114   07/15/40   598 
        Series - 2007 C6 (Class AM)             
 5,751,173   g  LB-UBS Commercial Mortgage Trust   6.114   07/15/40   5,758 
        Series - 2007 C6 (Class AMFL)             
 15,000,000   g  LCCM   3.357   07/12/50   15,294 
        Series - 2017 LC26 (Class ASB)             
 12,045,540   g,i  LVII Resecuritization Trust   3.851   07/25/47   12,053 
        Series - 2015 A (Class A)             
 2,205,000   i  Merrill Lynch Mortgage Trust   6.542   02/12/51   2,228 
        Series - 0 C1 (Class AJA)             
 2,210,442   g,i  Merrill Lynch Mortgage Trust   6.542   02/12/51   2,233 
        Series - 0 C1 (Class AJAF)             
 5,880,000   g,i  Merrill Lynch Mortgage Trust   6.542   02/12/51   5,923 
        Series - 2008 C1 (Class C)             
 19,995,000   i  ML-CFC Commercial Mortgage Trust   5.526   03/12/51   19,979 
        Series - 2007 6 (Class AM)             
 3,200,000      Morgan Stanley Bank of America Merrill Lynch Trust   2.469   02/15/46   3,223 
        Series - 2013 C7 (Class AAB)             
 4,500,000      Morgan Stanley Bank of America Merrill Lynch Trust   3.194   10/15/47   4,610 
        Series - 2014 C18 (Class A2)             
 1,600,000      Morgan Stanley Bank of America Merrill Lynch Trust   3.605   02/15/48   1,625 
        Series - 2015 C20 (Class AS)             
 12,400,000   g  Morgan Stanley Capital I Trust   2.695   01/11/32   12,494 
        Series - 2013 WLSR (Class A)             
338

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$2,550,000   g  Morgan Stanley Capital I Trust   4.012%  09/09/32  $2,688 
        Series - 2014 150E (Class AS)             
 3,500,000   g  Morgan Stanley Capital I Trust   4.264   09/09/32   3,712 
        Series - 2014 150E (Class B)             
 5,683,950   i  Morgan Stanley Capital I Trust   5.389   11/12/41   5,691 
        Series - 2006 HQ10 (Class AJ)             
 364,301   i  Morgan Stanley Capital I Trust   5.832   07/12/44   364 
        Series - 2006 HQ9 (Class B)             
 3,450,000   g,i  Morgan Stanley Capital I Trust   5.588   09/15/47   3,699 
        Series - 2011 C1 (Class D)             
 14,800,000   i  Morgan Stanley Capital I Trust   5.907   06/11/49   14,831 
        Series - 2007 IQ15 (Class AJ)             
 2,250,398   i  Morgan Stanley Capital I Trust   5.907   06/11/49   2,249 
        Series - 2007 IQ15 (Class AM)             
 12,121,000   g,i  Morgan Stanley Capital I Trust   6.104   06/11/49   9,148 
        Series - 2007 IQ15 (Class B)             
 8,750,000   i  Morgan Stanley Capital I Trust   6.080   12/12/49   8,857 
        Series - 2007 IQ16 (Class AMA)             
 7,330,000   i  Morgan Stanley Capital I Trust   6.115   12/12/49   6,678 
        Series - 2007 IQ16 (Class AJ)             
 7,205,000   i  Morgan Stanley Capital I Trust   6.281   12/12/49   7,293 
        Series - 2007 IQ16 (Class AM)             
 4,229,000   i  Morgan Stanley Capital I Trust   6.319   12/12/49   3,834 
        Series - 2007 IQ16 (Class AJA)             
 12,000,000   i  Morgan Stanley Capital I Trust   6.372   12/12/49   10,934 
        Series - 2007 IQ16 (Class AJFX)             
 21,000,000      Morgan Stanley Capital I Trust   3.304   06/15/50   21,557 
        Series - 2017 H1 (Class ASB)             
 535,277      Morgan Stanley Capital I Trust   4.770   07/15/56   535 
        Series - 0 IQ9 (Class AJ)             
 5,000,000   g  RBS Commercial Funding, Inc Trust   3.260   03/11/31   4,989 
        Series - 2013 SMV (Class A)             
 7,312,808   g,i  Sequoia Mortgage Trust   3.500   03/25/47   7,475 
        Series - 2017 2 (Class A4)             
 11,044,315   g,i  Sequoia Mortgage Trust   3.500   03/25/47   11,296 
        Series - 2017 2 (Class A1)             
 14,105,762   g,i  Sequoia Mortgage Trust   3.500   04/25/47   14,358 
        Series - 2017 3 (Class A4)             
 4,000,000   i  Structured Agency Credit Risk Debt Note (STACR)   3.416   09/25/24   4,109 
        Series - 2014 HQ2 (Class M2)             
 1,581,801   i  Structured Agency Credit Risk Debt Note (STACR)   3.616   01/25/25   1,589 
        Series - 2015 DN1 (Class M2)             
 368,262   i  Structured Agency Credit Risk Debt Note (STACR)   2.316   05/25/25   369 
        Series - 2015 HQ2 (Class M1)             
 16,250,000   i  Structured Agency Credit Risk Debt Note (STACR)   3.166   05/25/25   16,557 
        Series - 2015 HQ2 (Class M2)             
 10,670,816   i  Structured Agency Credit Risk Debt Note (STACR)   2.666   07/25/28   10,719 
        Series - 2016 DNA1 (Class M1)             
 1,750,000   i  Structured Agency Credit Risk Debt Note (STACR)   3.416   10/25/28   1,786 
        Series - 2016 DNA2 (Class M2)             
 12,517,345   i  Structured Agency Credit Risk Debt Note (STACR)   2.316   12/25/28   12,560 
        Series - 2016 DNA3 (Class M1)             
 8,029,798   i  Structured Agency Credit Risk Debt Note (STACR)   2.016   03/25/29   8,046 
        Series - 2016 DNA4 (Class M1)             
 2,750,000   i  Structured Agency Credit Risk Debt Note (STACR)   2.516   03/25/29   2,781 
        Series - 2016 DNA4 (Class M2)             
339

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$9,036,907   i  Structured Agency Credit Risk Debt Note (STACR)   2.416%  07/25/29  $9,156 
        Series - 2017 DNA1 (Class M1)             
 2,087,772   i  Wachovia Bank Commercial Mortgage Trust   5.825   07/15/45   2,113 
        Series - 2006 C27 (Class AJ)             
 32,910,000   i  Wachovia Bank Commercial Mortgage Trust   5.818   05/15/46   33,095 
        Series - 2007 C34 (Class AM)             
 3,328,000   i  Wachovia Bank Commercial Mortgage Trust   6.214   05/15/46   3,332 
        Series - 2007 C34 (Class B)             
 7,338,000   i  Wachovia Bank Commercial Mortgage Trust   6.271   05/15/46   7,343 
        Series - 2007 C34 (Class AJ)             
 6,721,236   i  Wachovia Bank Commercial Mortgage Trust   5.660   04/15/47   6,863 
        Series - 2007 C31 (Class AJ)             
 2,000,000   i  Wachovia Bank Commercial Mortgage Trust   5.700   04/15/47   2,010 
        Series - 2007 C31 (Class B)             
 35,208,345   g  Wachovia Bank Commercial Mortgage Trust   5.703   06/15/49   35,211 
        Series - 2007 C32 (Class AMFX)             
 49,550,000   i  Wachovia Bank Commercial Mortgage Trust   5.750   06/15/49   50,039 
        Series - 2007 C32 (Class AJ)             
 2,794,000   i  Wachovia Bank Commercial Mortgage Trust   5.750   06/15/49   2,767 
        Series - 2007 C32 (Class B)             
 33,600,000   i  Wachovia Bank Commercial Mortgage Trust   5.953   02/15/51   33,568 
        Series - 2007 C33 (Class AM)             
 3,420,345      Wells Fargo Commercial Mortgage Trust   1.392   07/15/48   3,386 
        Series - 2016 C35 (Class A1)             
 10,000,000      Wells Fargo Commercial Mortgage Trust   2.788   07/15/48   10,040 
        Series - 2016 C35 (Class ASB)             
 831,588      Wells Fargo Commercial Mortgage Trust   1.321   08/15/49   819 
        Series - 2016 BNK1 (Class A1)             
 15,000,000      Wells Fargo Commercial Mortgage Trust   2.514   08/15/49   14,775 
        Series - 2016 BNK1 (Class ASB)             
 15,000,000      Wells Fargo Commercial Mortgage Trust   2.825   10/15/49   15,017 
        Series - 2016 LC24 (Class ASB)             
 8,389,000      Wells Fargo Commercial Mortgage Trust   2.827   11/15/49   8,396 
        Series - 2016 NXS6 (Class ASB)             
 7,500,000      Wells Fargo Commercial Mortgage Trust   3.446   03/15/50   7,766 
        Series - 2017 RB1 (Class ASB)             
 15,000,000   h  Wells Fargo Commercial Mortgage Trust   3.261   07/15/50   15,384 
        Series - 2017 C38 (Class ASB)             
 7,250,000      Wells Fargo Commercial Mortgage Trust   3.185   03/15/59   7,417 
        Series - 2016 C33 (Class ASB)             
 6,000,000      Wells Fargo Commercial Mortgage Trust   3.749   03/15/59   6,169 
        Series - 2016 C33 (Class AS)             
 1,250,000      Wells Fargo Commercial Mortgage Trust   2.933   11/15/59   1,260 
        Series - 2016 C36 (Class ASB)             
 4,725,000   g,i  Wells Fargo Mortgage Backed Securities Trust   5.276   11/15/43   5,074 
        Series - 2010 C1 (Class B)             
 55,000,000   g,i  WFRBS Commercial Mortgage Trust   4.902   06/15/44   59,911 
        Series - 2011 C4 (Class A4)             
        TOTAL OTHER MORTGAGE BACKED               1,339,619 
                      
        TOTAL STRUCTURED ASSETS           2,376,849 
        (Cost $2,386,458)             
                      
        TOTAL BONDS           13,328,710 
        (Cost $13,209,673)             
340

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

              MATURITY  VALUE 
SHARES      COMPANY  RATE  DATE  (000) 
PREFERRED STOCKS - 0.1%
                        
BANKS - 0.1%
 470,597   *  Federal Home Loan Mortgage Corp          $2,565 
 1,527,061   *  Federal National Mortgage Association           8,796 
        TOTAL BANKS               11,361 
                          
        TOTAL PREFERRED STOCKS           11,361 
        (Cost $49,941)             
                       
PRINCIPAL       ISSUER             
SHORT-TERM INVESTMENTS - 4.3%
                        
GOVERNMENT AGENCY DEBT - 0.3%
$8,588,000      Federal Home Loan Bank (FHLB)   0.400%  07/03/17   8,588 
 17,900,000      FHLB   0.841   07/05/17   17,899 
 18,100,000      FHLB   0.871   07/14/17   18,095 
        TOTAL GOVERNMENT AGENCY DEBT               44,582 
                          
TREASURY DEBT - 4.0%
MYR6,500,000   j  Malaysia Treasury Bill   0.000   07/28/17   1,511 
$40,100,000      United States Treasury Bill   0.691   07/06/17   40,098 
 35,000,000      United States Treasury Bill   0.767   07/13/17   34,993 
 47,000,000      United States Treasury Bill   0.773   07/20/17   46,982 
 49,000,000      United States Treasury Bill   0.798   07/27/17   48,973 
 100,000,000      United States Treasury Bill   0.857-0.912   08/03/17   99,927 
 49,600,000      United States Treasury Bill   0.958   08/31/17   49,525 
 35,000,000      United States Treasury Bill   0.927   09/14/17   34,933 
 172,000,000      United States Treasury Bill   0.941-0.989   09/21/17   171,631 
 22,000,000      United States Treasury Bill   1.010   09/28/17   21,946 
        TOTAL TREASURY DEBT               550,519 
                          
        TOTAL SHORT-TERM INVESTMENTS           595,101 
        (Cost $595,060)             
                      
        TOTAL INVESTMENTS - 102.4%           14,025,484 
        (Cost $13,945,064)             
        OTHER ASSETS & LIABILITIES, NET - (2.4)%           (335,375)
        NET ASSETS - 100.0%          $13,690,109 
341

COLLEGE RETIREMENT EQUITIES FUND - Bond Market Account

 

       
       

    Abbreviation(s):
    AUD Australian Dollar
    BRL Brazilian Real
    CAD Canadian Dollar
    DKK Danish Krone
    EUR Euro
    GBP British Pound
    IDR Indonesian Rupiah
    ILS Israeli New Sheqel
    INR Indian Rupee
    JPY Japanese Yen
    KRW South Korean Won
    MXN Mexican Peso
    MYR Malaysia Ringgit
    NOK Norwegian Krone
    NZD New Zealand Dollar
    PEN Peruvian Nuevo Sol
    PLN Polish Zloty
    REIT Real Estate Investment Trust
    RUB Russian Ruble
    SEK Swedish Krone
    THB Thai Baht
    UYU Uruguayan Peso
    ZAR South African Rand
     
*   Non-income producing
^   Amount represents less than $1,000.
g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/17, the aggregate value of these securities was $2,211,784,000 or 16.2% of net assets.
h   All or a portion of these securities were purchased on a delayed delivery basis.
i   Floating or variable rate security. Coupon rate reflects the rate at period end.
j   Zero coupon
m   Indicates a security that has been deemed illiquid.
o   Payment in Kind Bond
q   In default
w   All or a portion of these securities have been segregated to cover collateral requirements on mortgage dollar rolls.
     
    Cost amounts are in thousands.
342

COLLEGE RETIREMENT EQUITIES FUND - Inflation-Linked Bond Account

 

COLLEGE RETIREMENT EQUITIES FUND

INFLATION-LINKED BOND ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2017

 

PRINCIPAL       ISSUER  VALUE
(000)
GOVERNMENT BONDS - 99.4%
              
AGENCY SECURITIES - 0.7%
        Montefiore Medical Center     
$17,190,000      2.895%, 04/20/32  $16,713 
        Private Export Funding Corp (PEFCO)     
 3,500,000      2.300%, 09/15/20   3,540 
 3,000,000      3.250%, 06/15/25   3,125 
        Reliance Industries Ltd     
 5,921,053      2.444%, 01/15/26   5,936 
        Ukraine Government AID Bonds     
 3,500,000      1.847%, 05/29/20   3,502 
 15,000,000      1.471%, 09/29/21   14,648 
        TOTAL AGENCY SECURITIES   47,464 
              
MORTGAGE BACKED - 0.2%
        Government National Mortgage Association (GNMA)     
 13,280,404      3.650%, 02/15/32   14,011 
        TOTAL MORTGAGE BACKED   14,011 
              
U.S. TREASURY SECURITIES - 98.5%
     k  United States Treasury Inflation Indexed Bonds     
 124,915,551      0.125%, 04/15/18   124,468 
 70,977,758      1.375%, 07/15/18   72,101 
 150,891,000      2.125%, 01/15/19   155,798 
 368,337,850      0.125%, 04/15/19   368,535 
 140,847,300      1.875%, 07/15/19   146,819 
 157,500,938      1.375%, 01/15/20   163,257 
 466,177,255      0.125%, 04/15/20   466,883 
 248,473,826      1.250%, 07/15/20   259,024 
 336,360,638      1.125%, 01/15/21   349,291 
 333,210,030      0.125%, 04/15/21   332,683 
 358,858,456      0.625%, 07/15/21   367,749 
 352,143,155      0.125%, 01/15/22   351,579 
 148,290,600      0.125%, 04/15/22   147,552 
 411,462,270      0.125%, 07/15/22   410,894 
 311,422,440      0.125%, 01/15/23   308,526 
 173,879,265      0.375%, 07/15/23   174,987 
 91,426,658      0.625%, 01/15/24   92,708 
 97,822,450      0.125%, 07/15/24   96,065 
 146,583,760      0.250%, 01/15/25   143,943 
 210,467,446      2.375%, 01/15/25   239,720 
 90,729,760      0.375%, 07/15/25   90,032 
 134,283,195      0.625%, 01/15/26   135,106 
 228,914,101      2.000%, 01/15/26   256,482 
 130,562,560      0.125%, 07/15/26   125,906 
 138,164,405      0.375%, 01/15/27   135,661 
 165,130,242      2.375%, 01/15/27   191,660 
 195,369,192      1.750%, 01/15/28   217,703 
343

COLLEGE RETIREMENT EQUITIES FUND - Inflation-Linked Bond Account

 

PRINCIPAL       ISSUER  VALUE
(000)
 
$ 98,296,992         3.625%, 04/15/28   $ 128,377  
 174,122,520      2.500%, 01/15/29   209,294 
 139,939,116      3.875%, 04/15/29   189,939 
        United States Treasury Note     
 28,000,000      1.250%, 04/30/19   27,932 
 13,640,000      1.750%, 05/31/22   13,558 
 25,000,000      2.000%, 05/31/24   24,792 
 20,000,000      1.875%, 06/30/24   19,819 
 25,000,000      2.375%, 05/15/27   25,161 
        TOTAL U.S. TREASURY SECURITIES   6,564,004 
              
        TOTAL GOVERNMENT BONDS   6,625,479 
        (Cost $6,422,683)    
              
SHORT-TERM INVESTMENTS - 0.6%
              
GOVERNMENT AGENCY DEBT - 0.1%
        Federal Home Loan Bank (FHLB)     
 4,750,000      0.650%, 07/03/17   4,750 
            4,750 
              
TREASURY DEBT - 0.5%
        United States Treasury Bill     
 17,280,000      0.825%, 07/06/17   17,279 
 16,375,000      0.812%, 07/13/17   16,371 
            33,650 
              
        TOTAL SHORT-TERM INVESTMENTS   38,400 
        (Cost $38,399)     
        TOTAL INVESTMENTS - 100.0%   6,663,879 
        (Cost $6,461,082)     
        OTHER ASSETS AND LIABILITIES, NET - 0.0%   1,737 
        NET ASSETS - 100.0%  $6,665,616 

 

       
       
k Principal amount for interest accrual purposes is periodically adjusted based on changes in the Consumer Price Index.
       
    Cost amounts are in thousands.
344

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

COLLEGE RETIREMENT EQUITIES FUND

SOCIAL CHOICE ACCOUNT

SCHEDULE OF INVESTMENTS (unaudited)

June 30, 2017

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
BANK LOAN OBLIGATIONS - 0.3%
                      
CAPITAL GOODS - 0.0%
$2,562,697   i  Manitowoc Foodservice, Inc   4.226%  03/03/23  $2,585 
        TOTAL CAPITAL GOODS           2,585 
                      
MEDIA - 0.1%
 6,211,201   i  Charter Communications Operating LLC   3.230   01/14/22   6,225 
 3,135,313   i  Charter Communications Operating LLC   3.480   01/15/24   3,145 
        TOTAL MEDIA           9,370 
                      
TECHNOLOGY HARDWARE & EQUIPMENT - 0.1%
 9,950,000   i  MTS Systems Corp   5.330   07/05/23   10,024 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT        10,024 
                      
UTILITIES - 0.1%
 14,756,317   i  Terra-Gen Finance Co LLC   5.480   12/09/21   13,576 
        TOTAL UTILITIES           13,576 
                      
        TOTAL BANK LOAN OBLIGATIONS           35,555 
        (Cost $36,421)             
                      
BONDS - 39.2%
                      
CORPORATE BONDS - 11.8%
                      
AUTOMOBILES & COMPONENTS - 0.2%
 1,955,000   g  Adient Global Holdings Ltd   4.875   08/15/26   1,960 
 7,550,000      Delphi Automotive plc   3.150   11/19/20   7,712 
 5,700,000      Ford Motor Co   4.346   12/08/26   5,870 
 12,800,000      Ford Motor Co   4.750   01/15/43   12,371 
 4,675,000   e  Magna International, Inc   3.625   06/15/24   4,801 
        TOTAL AUTOMOBILES & COMPONENTS           32,714 
                      
BANKS - 2.5%
 40,272,000   e  Bank of America Corp   1.950   05/12/18   40,315 
 11,175,000   e  Bank of America Corp   2.151   11/09/20   11,123 
 21,500,000   e,g  Bank of Montreal   2.500   01/11/22   21,633 
 18,500,000   e  Bank of Nova Scotia   2.125   09/11/19   18,552 
 12,000,000   g  Bank of Nova Scotia   1.875   09/20/21   11,740 
 15,000,000   i  Citizens Bank NA   1.750   03/02/20   15,012 
 1,350,000      Citizens Financial Group, Inc   2.375   07/28/21   1,338 
 7,025,000     Cooperatieve Centrale Raiffeisen-Boerenleenbank BA   3.950   11/09/22   7,336 
 2,710,000      Cooperatieve Centrale Raiffeisen-Boerenleenbank BA   4.375   08/04/25   2,842 
 7,275,000      Cooperatieve Rabobank UA   2.750   01/10/22   7,385 
 4,950,000      Cooperatieve Rabobank UA   3.750   07/21/26   4,950 
345

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$9,400,000      Discover Bank   3.450%  07/27/26  $9,093 
 5,000,000   e,g  DNB Boligkreditt AS.   2.000   05/28/20   4,992 
 10,000,000      First Niagara Financial Group, Inc   6.750   03/19/20   11,169 
 20,000,000   g  ING Bank NV   2.000   11/26/18   20,017 
 11,500,000   g  Intesa Sanpaolo S.p.A   5.017   06/26/24   11,664 
 10,000,000   g  Intesa Sanpaolo S.p.A   5.710   01/15/26   10,559 
 6,300,000      KeyBank NA   2.350   03/08/19   6,341 
 4,644,000   i  Manufacturers & Traders Trust Co   2.437   12/28/20   4,653 
 9,076,000   i  Manufacturers & Traders Trust Co   1.842   12/01/21   8,951 
 1,605,000      Manufacturers & Traders Trust Co   2.900   02/06/25   1,591 
 18,775,000      Mitsubishi UFJ Financial Group, Inc   2.527   09/13/23   18,390 
 18,257,000      People’s United Financial, Inc   3.650   12/06/22   18,639 
 8,245,000      PNC Bank NA   2.950   01/30/23   8,329 
 8,450,000      Royal Bank of Canada   1.875   02/05/20   8,404 
 12,000,000      Royal Bank of Canada   2.100   10/14/20   11,980 
 14,500,000   g  Skandinaviska Enskilda Banken AB   1.375   05/29/18   14,467 
 12,500,000      SVB Financial Group   3.500   01/29/25   12,270 
 5,000,000   e  Toronto-Dominion Bank   1.800   07/13/21   4,898 
 12,000,000   g  Toronto-Dominion Bank   2.500   01/18/22   12,082 
 12,019,000   g  Westpac Banking Corp   2.100   02/25/21   11,958 
        TOTAL BANKS           352,673 
                      
CAPITAL GOODS - 0.7%
 2,500,000      3M Co   6.375   02/15/28   3,217 
 9,075,000   e  Air Lease Corp   3.875   04/01/21   9,466 
 6,525,000      Air Lease Corp   4.250   09/15/24   6,844 
 1,975,000      Anixter, Inc   5.125   10/01/21   2,103 
 4,575,000      Anixter, Inc   5.500   03/01/23   4,889 
 6,250,000      CNH Industrial Capital LLC   3.875   10/15/21   6,414 
 4,600,000      Ingersoll-Rand Global Holding Co Ltd   4.250   06/15/23   4,970 
 3,250,000      Johnson Controls International plc   5.000   03/30/20   3,471 
 10,875,000   g  LafargeHolcim Finance US LLC   4.750   09/22/46   11,328 
 5,625,000      Parker-Hannifin Corp   4.200   11/21/34   5,992 
 6,980,000      Pentair Finance S.A.   2.650   12/01/19   7,033 
 3,300,000      Rockwell Collins, Inc   3.100   11/15/21   3,377 
 6,125,000   e  Rockwell Collins, Inc   3.700   12/15/23   6,374 
 12,625,000      WW Grainger, Inc   4.200   05/15/47   13,034 
        TOTAL CAPITAL GOODS           88,512 
                      
COMMERCIAL & PROFESSIONAL SERVICES - 0.1%
 2,730,000      Waste Management, Inc   4.600   03/01/21   2,946 
 3,475,000      Waste Management, Inc   3.900   03/01/35   3,591 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES        6,537 
                      
CONSUMER SERVICES - 0.5%
 4,000,000      American National Red Cross   5.567   11/15/17   4,049 
 10,000,000      Henry J Kaiser Family Foundation   3.356   12/01/25   9,825 
 1,250,000      McDonald’s Corp   5.000   02/01/19   1,310 
 19,000,000      Metropolitan Museum of Art   3.400   07/01/45   18,161 
 7,550,000      Nature Conservancy   6.300   07/01/19   8,064 
 17,500,000      New York Public Library Astor Lenox & Tilden Foundations4.305   07/01/45   17,998 
 5,145,000      Salvation Army   5.637   09/01/26   5,641 
 9,800,000   e  Starbucks Corp   2.450   06/15/26   9,453 
        TOTAL CONSUMER SERVICES          74,501 
346

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
DIVERSIFIED FINANCIALS - 1.1%
$2,675,000      Bank of New York Mellon Corp   5.450%  05/15/19  $2,850 
 6,350,000   i  Bank of New York Mellon Corp   2.661   05/16/23   6,364 
 2,169,000      Discover Financial Services   3.850   11/21/22   2,221 
 9,000,000   g  EDP Finance BV   4.125   01/15/20   9,302 
 9,500,000   e,g  EDP Finance BV   5.250   01/14/21   10,195 
 11,625,000   g  EDP Finance BV   3.625   07/15/24   11,537 
 9,500,000      Ford Foundation   3.859   06/01/47   9,870 
 11,700,000      Ford Motor Credit Co LLC   3.200   01/15/21   11,875 
 2,300,000      Legg Mason, Inc   3.950   07/15/24   2,334 
 37,250,000      Morgan Stanley   2.200   12/07/18   37,437 
 3,314,000      Northern Trust Corp   3.375   08/23/21   3,454 
 9,750,000   g  RCI Banque S.A.   3.500   04/03/18   9,863 
 1,535,000      Reinvestment Fund, Inc   3.166   11/01/23   1,538 
 10,250,000      Reinvestment Fund, Inc   3.366   11/01/24   10,318 
 15,000,000   i  State Street Corp   2.653   05/15/23   15,044 
 4,525,000      Unilever Capital Corp   2.000   07/28/26   4,164 
        TOTAL DIVERSIFIED FINANCIALS           148,366 
                      
ENERGY - 0.8%
 4,175,000      Apache Corp   3.250   04/15/22   4,235 
 14,500,000   g  Cenovus Energy, Inc   5.250   06/15/37   13,556 
 3,175,000      Cimarex Energy Co   3.900   05/15/27   3,193 
 8,450,000      EOG Resources, Inc   3.900   04/01/35   8,204 
 4,450,000      EOG Resources, Inc   5.100   01/15/36   4,887 
 1,000,000      Marathon Oil Corp   2.700   06/01/20   991 
 3,025,000      National Oilwell Varco, Inc   1.350   12/01/17   3,021 
 17,292,000      National Oilwell Varco, Inc   3.950   12/01/42   14,285 
 2,500,000      Noble Energy, Inc   8.250   03/01/19   2,742 
 3,290,000      Noble Energy, Inc   5.050   11/15/44   3,383 
 2,775,000   g,i  Phillips 66   1.886   04/15/20   2,781 
 9,000,000      Phillips 66   4.650   11/15/34   9,483 
 5,000,000      Spectra Energy Capital LLC   5.650   03/01/20   5,372 
 9,500,000      Statoil ASA   3.150   01/23/22   9,764 
 4,500,000      Statoil ASA   2.650   01/15/24   4,442 
 5,932,000      Statoil ASA   3.950   05/15/43   5,814 
 5,000,000   g  Texas Eastern Transmission LP   4.125   12/01/20   5,216 
        TOTAL ENERGY           101,369 
                      
HEALTH CARE EQUIPMENT & SERVICES - 0.2%
 7,500,000   i  Becton Dickinson and Co   2.253   06/06/22   7,517 
 7,250,000      Becton Dickinson and Co   3.363   06/06/24   7,264 
 4,500,000      Becton Dickinson and Co   4.669   06/06/47   4,635 
 3,250,000   e  Laboratory Corp of America Holdings   2.625   02/01/20   3,277 
 9,000,000      Laboratory Corp of America Holdings   3.200   02/01/22   9,184 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES           31,877 
                      
INSURANCE - 0.3%
 3,000,000   g,i  Cranberry RE Ltd   3.048   07/13/20   2,996 
 15,000,000   i  Prudential Financial, Inc   5.200   03/15/44   15,900 
 7,450,000   e,i  Prudential Financial, Inc   5.375   05/15/45   8,065 
347

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$10,550,000   g  Swiss Re Treasury US Corp   2.875%  12/06/22  $10,592 
 8,687,000   g  Swiss Re Treasury US Corp   4.250   12/06/42   8,944 
        TOTAL INSURANCE           46,497 
                      
MATERIALS - 0.6%
 2,275,000      Ball Corp   5.000   03/15/22   2,428 
 8,930,000      Ball Corp   4.000   11/15/23   9,131 
 1,000,000   h  Commercial Metals Co   5.375   07/15/27   1,019 
 5,750,000      Domtar Corp   4.400   04/01/22   6,042 
 2,300,000      Eastman Chemical Co   5.500   11/15/19   2,469 
 20,000,000   e  Fibria Overseas Finance Ltd   5.500   01/17/27   20,418 
 7,500,000      International Paper Co   5.000   09/15/35   8,211 
 5,000,000      International Paper Co   6.000   11/15/41   6,105 
 4,600,000      International Paper Co   4.800   06/15/44   4,917 
 17,000,000   g  Inversiones CMPC S.A.   4.375   04/04/27   17,279 
 5,000,000      MeadWestvaco Corp   7.375   09/01/19   5,531 
 2,500,000   g  Sealed Air Corp   5.500   09/15/25   2,731 
        TOTAL MATERIALS           86,281 
                      
MEDIA - 0.3%
 3,125,000      Charter Communications Operating LLC   3.579   07/23/20   3,229 
 14,850,000      Charter Communications Operating LLC   4.464   07/23/22   15,820 
 5,500,000      Time Warner Cable, Inc   4.500   09/15/42   5,240 
 10,000,000   i  Walt Disney Co   1.608   03/04/22   10,050 
 4,175,000      Walt Disney Co   2.450   03/04/22   4,207 
        TOTAL MEDIA           38,546 
                      
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 0.1%
 5,000,000      Bristol-Myers Squibb Co   3.250   08/01/42   4,526 
 3,300,000      Zoetis, Inc   3.450   11/13/20   3,413 
 10,000,000      Zoetis, Inc   3.250   02/01/23   10,248 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES     18,187 
                      
REAL ESTATE - 0.4%
 4,500,000      Brixmor Operating Partnership LP   3.650   06/15/24   4,426 
 6,525,000      Brixmor Operating Partnership LP   3.850   02/01/25   6,440 
 3,500,000      Federal Realty Investment Trust   2.750   06/01/23   3,438 
 3,400,000      Healthcare Realty Trust, Inc   5.750   01/15/21   3,723 
 7,000,000      Kimco Realty Corp   6.875   10/01/19   7,708 
 16,825,000      Mid-America Apartments LP   4.000   11/15/25   17,413 
 16,822,000      Regency Centers LP   3.750   06/15/24   17,172 
        TOTAL REAL ESTATE           60,320 
                      
TECHNOLOGY HARDWARE & EQUIPMENT - 0.2%
 18,110,000      Apple, Inc   2.850   02/23/23   18,422 
 14,250,000      Apple, Inc   3.000   06/20/27   14,180 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT      32,602 
                      
TELECOMMUNICATION SERVICES - 0.2%
 3,400,000      CenturyLink, Inc   6.750   12/01/23   3,661 
 5,000,000   i  Verizon Communications, Inc   2.250   03/16/22   5,059 
 11,750,000      Verizon Communications, Inc   2.625   08/15/26   10,835 
 7,350,000   e  Verizon Communications, Inc   5.250   03/16/37   7,910 
        TOTAL TELECOMMUNICATION SERVICES          27,465 
348

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
TRANSPORTATION - 0.8%
$6,775,000      CSX Corp   4.250%  11/01/66  $6,691 
 2,253,379      Delta Air Lines   4.250   07/30/23   2,315 
 5,547,946      Delta Air Lines   3.625   07/30/27   5,714 
 3,150,000   e  Delta Air Lines, Inc   2.875   03/13/20   3,191 
 7,150,000      Delta Air Lines, Inc   3.625   03/15/22   7,339 
 3,800,000   e,g  Hertz Corp   7.625   06/01/22   3,791 
 4,000,000      Kansas City Southern   3.000   05/15/23   4,013 
 7,000,000      Kansas City Southern   4.300   05/15/43   6,911 
 15,925,000      Kansas City Southern   4.950   08/15/45   17,390 
 5,275,000   g  Mexico City Airport Trust   4.250   10/31/26   5,408 
 10,325,000   g  Mexico City Airport Trust   5.500   10/31/46   10,506 
 475,000      Norfolk Southern Corp   5.590   05/17/25   541 
 8,274,914      Spirit Airlines, Inc   4.100   04/01/28   8,606 
 4,050,000      Union Pacific Corp   3.375   02/01/35   4,010 
 5,004,157      Union Pacific Railroad Co   3.227   05/14/26   5,070 
 9,313,288      Union Pacific Railroad Co   2.695   05/12/27   9,122 
 1,360,000   i  United Parcel Service of America, Inc (Step Bond)   8.375   04/01/30   1,944 
 2,250,000   i  United Parcel Service, Inc   1.560   05/16/22   2,258 
        TOTAL TRANSPORTATION           104,820 
                      
UTILITIES - 2.8%
 2,075,000   g  APT Pipelines Ltd   4.250   07/15/27   2,124 
 2,000,000      Atmos Energy Corp   8.500   03/15/19   2,214 
 7,550,000   g  Colorado Interstate Gas Co LLC   4.150   08/15/26   7,492 
 1,200,000      Connecticut Light & Power Co   5.500   02/01/19   1,266 
 2,000,000      Connecticut Light & Power Co   5.750   03/01/37   2,409 
 8,244,587   g  Continental Wind LLC   6.000   02/28/33   8,671 
 22,500,000   g  Electricite de France S.A.   3.625   10/13/25   23,017 
 6,150,000      Fortis, Inc   2.100   10/04/21   6,023 
 10,750,000      Fortis, Inc   3.055   10/04/26   10,375 
 11,250,000      Georgia Power Co   3.250   04/01/26   11,223 
 432,341   g  Great River Energy   5.829   07/01/17   432 
 2,745,000   g  International Transmission Co   4.625   08/15/43   3,051 
 6,575,000      Interstate Power & Light Co   3.250   12/01/24   6,624 
 9,250,000   g  Narragansett Electric Co   4.170   12/10/42   9,418 
 9,732,000   g  Niagara Mohawk Power Corp   4.278   10/01/34   10,287 
 9,750,000   g  Niagara Mohawk Power Corp   4.119   11/28/42   9,881 
 1,500,000      Northwest Natural Gas Co   5.620   11/21/23   1,713 
 11,000,000      NorthWestern Corp   4.176   11/15/44   11,234 
 18,900,000   g  Pattern Energy Group, Inc   5.875   02/01/24   19,892 
 630,000      Public Service Co of Colorado   4.750   08/15/41   708 
 5,500,000      San Diego Gas & Electric Co   3.000   08/15/21   5,657 
 9,553,602      San Diego Gas & Electric Co   1.914   02/01/22   9,449 
 8,875,000      Sierra Pacific Power Co   3.375   08/15/23   9,115 
 26,221,911   g  Solar Star Funding LLC   3.950   06/30/35   25,272 
 24,488,244   g  Solar Star Funding LLC   5.375   06/30/35   26,481 
 2,000,000      Southern California Edison Co   2.400   02/01/22   2,006 
 9,675,000      Southern Power Co   1.850   12/01/17   9,684 
 6,600,000      Southern Power Co   1.950   12/15/19   6,576 
 8,300,000   e  Southern Power Co   2.500   12/15/21   8,224 
 25,000,000      Southern Power Co   4.150   12/01/25   26,110 
349

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$16,000,000   g,i  TerraForm Power Operating LLC (Step Bond)   6.375%  02/01/23  $16,640 
 19,248,586   g  Topaz Solar Farms LLC   4.875   09/30/39   19,960 
 13,306,636   g  Topaz Solar Farms LLC   5.750   09/30/39   14,765 
 5,000,000      Washington Gas Light Co   5.440   08/11/25   5,876 
 19,650,000   e  Westar Energy, Inc   2.550   07/01/26   18,956 
 16,525,000      WGL Holdings, Inc   2.250   11/01/19   16,453 
        TOTAL UTILITIES           369,278 
                      
        TOTAL CORPORATE BONDS           1,620,545 
        (Cost $1,593,227)             
                      
GOVERNMENT BONDS -  24.2%
                      
AGENCY SECURITIES - 4.1%
 3,445,062      Export Lease Ten Co LLC   1.650   05/07/25   3,351 
 5,500,000      Federal Home Loan Bank (FHLB)   5.000   11/17/17   5,577 
 5,000,000      Federal Home Loan Mortgage Corp (FHLMC)   1.000   09/29/17   4,999 
 7,000,000      Federal National Mortgage Association (FNMA)   1.625   01/21/20   7,018 
 15,500,000      FNMA   2.625   09/06/24   15,904 
 2,290,826   g  Genesis Solar Pass Through Trust   3.875   02/15/38   2,472 
 1,096,000   j  Government Trust Certificate   0.000   04/01/19   1,062 
 5,000,000   j  Government Trust Certificate   0.000   04/01/21   4,615 
 6,580,000   g  Hospital for Special Surgery   3.500   01/01/23   6,745 
 7,500,000   i  India Government AID Bond   1.270   02/01/27   7,212 
 4,780,000      Lutheran Medical Center   1.982   02/20/30   4,579 
 7,312,500      Mexican Aircraft Finance V LLC   2.329   01/14/27   7,279 
 3,475,000   g  Montefiore Medical Center   3.896   05/20/27   3,619 
 20,900,000      NCUA Guaranteed Notes   3.000   06/12/19   21,523 
 7,000,000      NCUA Guaranteed Notes   3.450   06/12/21   7,358 
 16,980,000      New York Society for the Relief of the Ruptured & Crippled2.881   12/20/31   16,532 
 775,000   j  Overseas Private Investment Corp (OPIC)   0.000   11/11/17   784 
 6,650,000   j  OPIC   0.000   11/13/17   6,670 
 10,750,000   j  OPIC   0.000   11/17/17   11,271 
 16,000,000   j  OPIC   0.000   02/11/18   16,105 
 2,450,000   j  OPIC   0.000   04/30/18   2,455 
 5,700,000   j  OPIC   0.000   11/15/19   6,015 
 3,977,351      OPIC   2.290   09/15/26   3,951 
 2,155,228      OPIC   2.040   12/15/26   2,141 
 9,713,998      OPIC   2.740   09/15/29   9,570 
 11,955,689      OPIC   3.220   09/15/29   12,018 
 13,450,150      OPIC   3.280   09/15/29   13,740 
 2,421,331      OPIC   2.610   04/15/30   2,329 
 3,961,500      OPIC   2.930   05/15/30   3,945 
 6,546,900      OPIC   3.040   05/15/30   6,643 
 7,647,111      OPIC   3.540   06/15/30   8,009 
 19,746,267      OPIC   3.370   12/15/30   20,457 
 21,694,599      OPIC   3.820   12/20/32   22,810 
 13,996,516      OPIC   3.938   12/20/32   14,849 
 11,820,610      OPIC   3.160   06/01/33   11,797 
 11,347,786      OPIC   3.430   06/01/33   11,588 
 1,228,355      OPIC   2.810   07/31/33   1,194 
 1,965,369      OPIC   2.940   07/31/33   1,930 
 5,000,000      Private Export Funding Corp (PEFCO)   4.375   03/15/19   5,238 
 5,854,000   e  PEFCO   1.450   08/15/19   5,838 
350

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$13,150,000      PEFCO   2.250%  03/15/20  $13,326 
 8,000,000      PEFCO   2.300   09/15/20   8,091 
 17,500,000      PEFCO   4.300   12/15/21   19,176 
 4,250,000      PEFCO   2.050   11/15/22   4,224 
 4,000,000      PEFCO   3.550   01/15/24   4,278 
 8,000,000      PEFCO   3.250   06/15/25   8,333 
 2,210,425      Tayarra Ltd   3.628   02/15/22   2,286 
 2,116,965      Tricahue Leasing LLC   3.503   11/19/21   2,182 
 7,475,000      UNM Sandoval Regional Medical Center   4.500   07/20/36   7,807 
 4,894,000      US Department of Housing and Urban Development (HUD)2.910   08/01/17   4,903 
 8,000,000      HUD   4.560   08/01/17   8,027 
 10,750,000      HUD   1.770   08/01/18   10,796 
 4,497,000      HUD   5.380   08/01/18   4,512 
 750,000      HUD   2.050   08/01/19   753 
 9,500,000      HUD   4.870   08/01/19   10,086 
 13,967,000      HUD   4.960   08/01/20   14,893 
 13,500,000      HUD   5.050   08/01/21   14,019 
 3,217,000      HUD   2.910   08/01/23   3,290 
 1,250,000      VRG Linhas Aereas S.A.   0.983   03/13/18   1,245 
 7,258,517      Ethiopian Leasing LLC   2.566   08/14/26   7,273 
 45,500,000      Iraq Government AID Bond   2.149   01/18/22   45,460 
 5,885,000      Montefiore Medical Center   2.152   10/20/26   5,638 
 21,255,000      Montefiore Medical Center   2.895   04/20/32   20,665 
 15,300,000      Ukraine Government AID Bonds   1.847   05/29/20   15,308 
 19,500,000      Ukraine Government AID Bonds   1.471   09/29/21   19,043 
        TOTAL AGENCY SECURITIES           576,806 
                      
FOREIGN GOVERNMENT BONDS - 5.2%
 24,350,000      African Development Bank   1.375   12/17/18   24,296 
 13,550,000   e  African Development Bank   2.375   09/23/21   13,766 
 17,500,000      Asian Development Bank   2.125   03/19/25   17,171 
 6,000,000   g  Caisse d’Amortissement de la Dette Sociale   2.000   04/17/20   6,026 
 9,000,000      Canada Government International Bond   1.125   03/19/18   8,987 
 6,271,117   g  Carpintero Finance Ltd   2.004   09/18/24   6,196 
 6,500,000      Council Of Europe Development Bank   1.000   02/04/19   6,443 
 25,000,000      European Bank for Reconstruction & Development   1.625   04/10/18   24,970 
 19,500,000      European Bank for Reconstruction & Development   0.875   07/22/19   19,161 
 2,000,000      European Investment Bank   2.000   03/15/21   2,006 
 20,750,000   e  European Investment Bank   2.125   04/13/26   20,240 
 18,100,000      European Investment Bank   2.375   05/24/27   17,886 
 2,000,000      European Investment Bank   4.875   02/15/36   2,555 
 16,275,000      Export Development Canada   1.250   12/10/18   16,228 
 9,000,000      Export Development Canada   1.625   12/03/19   9,005 
 12,000,000      Export Development Canada   1.375   10/21/21   11,712 
 18,175,000      Export-Import Bank of Korea   1.750   02/27/18   18,157 
 15,000,000   g  Finnvera Oyj   2.375   06/04/25   14,573 
 6,082,000      Hydro Quebec   8.400   01/15/22   7,520 
 45,000,000      Inter-American Development Bank   1.185   07/09/18   44,579 
 19,075,000      International Finance Corp   1.250   11/27/18   19,024 
 19,250,000      International Finance Corp   1.750   03/30/20   19,275 
 46,500,000      International Finance Corp   1.546   11/04/21   44,987 
 40,500,000      International Finance Corp   2.125   04/07/26   39,462 
 5,000,000      Japan Bank for International Cooperation   1.875   04/20/21   4,919 
351

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$9,000,000   g  Japan Finance Organization for Municipalities   2.125%  04/13/21  $8,866 
 5,000,000      KFW   1.000   01/26/18   4,992 
 23,000,000      KFW   1.750   10/15/19   23,069 
 11,500,000      KFW   1.500   04/20/20   11,431 
 38,200,000      KFW   1.875   11/30/20   38,216 
 10,000,000      KFW   2.625   01/25/22   10,276 
 8,850,000   g  Kommunalbanken AS.   1.375   10/26/20   8,713 
 12,500,000   g  Kommunalbanken AS.   2.125   02/11/25   12,218 
 19,400,000   g  Kommuninvest I Sverige AB   1.500   04/23/19   19,335 
 18,500,000   h,i  Korea Development Bank   2.024   07/06/22   18,487 
 16,750,000      Kreditanstalt fuer Wiederaufbau   2.000   11/30/21   16,758 
 3,000,000   g  Nacional Financiera SNC   3.375   11/05/20   3,086 
 25,000,000   g  Nederlandse Waterschapsbank NV   2.375   03/24/26   24,590 
 10,000,000      North American Development Bank   2.300   10/10/18   10,063 
 2,000,000      North American Development Bank   4.375   02/11/20   2,114 
 15,250,000   e  Province of Manitoba Canada   1.750   05/30/19   15,261 
 15,000,000      Province of Manitoba Canada   2.100   09/06/22   14,850 
 12,700,000      Province of Manitoba Canada   3.050   05/14/24   13,114 
 10,000,000      Province of New Brunswick Canada   2.750   06/15/18   10,115 
 9,500,000      Province of Ontario Canada   1.200   02/14/18   9,486 
 5,000,000      Province of Ontario Canada   4.400   04/14/20   5,332 
 10,000,000      Province of Quebec Canada   3.500   07/29/20   10,466 
 10,000,000      Province of Quebec Canada   2.750   04/12/27   9,957 
 5,000,000      Province of Quebec Canada   7.500   09/15/29   7,137 
        TOTAL FOREIGN GOVERNMENT BONDS           727,076 
                      
MORTGAGE BACKED - 8.0%
 9,839,903      Federal Home Loan Mortgage Corp (FHLMC)   3.500   08/15/42   10,174 
 14,027,598      FHLMC   3.500   08/15/43   14,674 
 19,603,190      FHLMC   3.500   07/15/46   3,747 
 9,929      Federal Home Loan Mortgage Corp Gold (FGLMC)   6.000   12/01/17   10 
 35,435      FGLMC   7.000   10/01/20   37 
 4,399      FGLMC   7.000   05/01/23   5 
 6,285,609      FGLMC   3.500   03/01/27   6,550 
 16,869      FGLMC   8.000   01/01/31   19 
 351,002      FGLMC   4.500   07/01/33   378 
 624,262      FGLMC   5.500   09/01/33   702 
 491,568      FGLMC   5.500   09/01/33   547 
 876,342      FGLMC   5.500   12/01/33   981 
 2,364,945      FGLMC   7.000   12/01/33   2,741 
 781,599      FGLMC   7.000   05/01/35   901 
 93,978      FGLMC   5.000   02/01/36   103 
 1,987      FGLMC   6.500   05/01/36   2 
 518,542      FGLMC   5.000   07/01/39   569 
 2,617,930   w  FGLMC   4.500   11/01/40   2,854 
 2,957,861   w  FGLMC   4.500   12/01/40   3,226 
 773,402      FGLMC   4.500   10/01/44   843 
 955,259      FGLMC   4.500   11/01/44   1,042 
 1,168,462      FGLMC   4.500   11/01/44   1,274 
 741,907      FGLMC   4.500   12/01/44   809 
 437,724      FGLMC   4.500   12/01/44   472 
 3,230,145      FGLMC   3.500   04/01/45   3,340 
 27,921,949      FGLMC   3.500   10/01/45   28,855 
 19,591,166      FGLMC   4.000   12/01/45   20,812 
352

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$2,720,048      FGLMC   4.000%  05/01/46  $2,881 
 53,354,326      FGLMC   3.500   08/01/46   55,136 
 1,924      Federal National Mortgage Association (FNMA)   8.000   03/01/23   2 
 21,469      FNMA   8.000   07/01/24   25 
 18,500,000   i  FNMA   2.877   02/25/27   18,397 
 8,527,845      FNMA   2.500   07/01/31   8,582 
 346,236      FNMA   2.500   07/01/31   349 
 2,045,714      FNMA   2.500   08/01/31   2,059 
 292,568      FNMA   2.500   10/01/31   295 
 986,504      FNMA   2.500   10/01/31   993 
 164,976      FNMA   2.500   11/01/31   166 
 817,932      FNMA   2.500   11/01/31   823 
 486,505      FNMA   2.500   11/01/31   490 
 392,002      FNMA   2.500   11/01/31   395 
 717,537      FNMA   2.500   11/01/31   722 
 279,130      FNMA   2.500   12/01/31   281 
 1,010,221      FNMA   2.500   12/01/31   1,017 
 1,274,537      FNMA   2.500   12/01/31   1,283 
 371,873      FNMA   2.500   12/01/31   374 
 466,495      FNMA   2.500   12/01/31   470 
 9,715,222      FNMA   3.500   02/01/32   10,126 
 8,000,000      FNMA   3.000   07/01/32   8,215 
 10,148,602      FNMA   3.500   07/01/32   10,580 
 306,940      FNMA   6.500   07/01/32   354 
 17,000,000   h  FNMA   2.500   08/25/32   17,065 
 15,000,000   h  FNMA   3.000   08/25/32   15,377 
 2,548,337      FNMA   5.000   06/01/33   2,796 
 5,398,892      FNMA   5.000   10/01/33   5,922 
 289,788      FNMA   5.000   11/01/33   319 
 79,558      FNMA   7.000   01/01/34   85 
 834,427      FNMA   5.000   03/01/34   915 
 1,449,543      FNMA   5.500   03/01/34   1,625 
 4,418,789      FNMA   5.000   05/01/35   4,850 
 2,815,244      FNMA   5.000   10/01/35   3,091 
 2,164,818      FNMA   5.000   02/01/36   2,376 
 1,096,061      FNMA   5.500   08/01/37   1,230 
 640,118      FNMA   6.000   09/01/37   739 
 533,532      FNMA   6.000   09/01/37   614 
 150,353      FNMA   6.500   09/01/37   167 
 661,873      FNMA   5.500   01/01/38   741 
 17,735      FNMA   6.500   02/01/38   20 
 2,084,603      FNMA   5.500   04/01/38   2,321 
 2,967,137      FNMA   5.500   11/01/38   3,431 
 4,055,306      FNMA   5.500   12/01/38   4,575 
 33,608      FNMA   4.500   04/01/39   37 
 765,997      FNMA   4.500   05/01/39   831 
 349,464      FNMA   4.000   07/01/39   371 
 1,266,919      FNMA   5.500   08/01/39   1,426 
 50,170      FNMA   4.500   02/01/40   55 
 452,747      FNMA   5.000   08/01/40   495 
 2,186,507      FNMA   5.000   09/01/40   2,389 
353

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$142,761      FNMA   4.500%  11/01/40  $156 
 5,953,611      FNMA   4.500   01/01/41   6,491 
 235,131      FNMA   4.500   01/01/41   257 
 5,500,006      FNMA   4.500   01/01/41   5,971 
 202,273      FNMA   4.500   02/01/41   221 
 3,643,706      FNMA   5.000   05/01/41   3,985 
 253,122      FNMA   4.500   06/01/41   277 
 205,693      FNMA   4.500   06/01/41   225 
 698,321      FNMA   5.000   06/01/41   765 
 2,052,681      FNMA   5.000   07/01/41   2,248 
 1,579,327      FNMA   4.500   09/01/41   1,714 
 391,982      FNMA   4.500   12/01/41   429 
 11,378,696      FNMA   5.500   12/01/41   13,022 
 722,937      FNMA   4.500   01/01/42   788 
 256,574      FNMA   4.500   01/01/42   281 
 9,038,346      FNMA   3.000   03/25/42   9,212 
 2,000,546      FNMA   4.500   04/01/42   2,163 
 224,316      FNMA   4.500   04/01/42   244 
 2,868,747      FNMA   4.500   06/01/42   3,099 
 290,744      FNMA   4.500   06/01/42   318 
 4,478,927      FNMA   3.000   06/25/42   4,560 
 210,384      FNMA   4.500   07/01/42   230 
 5,583,851      FNMA   4.500   08/01/42   6,057 
 9,631,027      FNMA   3.000   10/01/42   9,670 
 175,366      FNMA   3.000   10/01/42   176 
 5,432,979      FNMA   3.500   11/25/42   1,073 
 7,157,371   w  FNMA   3.000   01/01/43   7,186 
 2,089,393   h  FNMA   4.500   01/01/43   2,245 
 8,971,368   w  FNMA   3.000   02/01/43   9,007 
 5,221,889      FNMA   3.000   02/25/43   5,341 
 9,967      FNMA   3.000   04/01/43   10 
 5,167,438      FNMA   3.000   08/25/43   5,287 
 5,515,427      FNMA   4.500   10/01/43   5,986 
 4,670,208      FNMA   4.000   04/01/44   4,951 
 2,071,952      FNMA   4.000   06/01/44   2,197 
 3,005,276      FNMA   4.000   06/01/44   3,187 
 10,969,766      FNMA   4.500   06/01/44   11,947 
 1,136,311      FNMA   4.500   06/01/44   1,237 
 854,808      FNMA   4.000   07/01/44   906 
 2,305,637      FNMA   4.000   07/01/44   2,444 
 7,162,437      FNMA   4.000   08/01/44   7,593 
 3,790,681      FNMA   4.000   08/01/44   4,019 
 2,378,676      FNMA   4.000   08/01/44   2,521 
 1,032,652      FNMA   4.000   08/01/44   1,095 
 2,639,637      FNMA   4.500   08/01/44   2,876 
 683,186      FNMA   4.000   09/01/44   724 
 714,230      FNMA   4.000   09/01/44   757 
 3,758,173      FNMA   4.000   10/01/44   3,984 
 6,159,794      FNMA   4.500   10/01/44   6,711 
 11,734,189      FNMA   4.500   11/01/44   12,784 
 4,819,554      FNMA   4.000   12/01/44   5,131 
 2,558,009      FNMA   4.500   12/01/44   2,801 
 3,755,603      FNMA   4.000   01/01/45   4,000 
 481,415      FNMA   3.500   03/01/45   497 
354

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL     ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$291,321      FNMA   3.500%  03/01/45  $301 
 715,611      FNMA   4.500   03/01/45   784 
 715,812      FNMA   4.500   04/01/45   785 
 5,943,943      FNMA   3.500   05/01/45   6,144 
 840,731      FNMA   4.000   05/01/45   895 
 1,855,421      FNMA   4.000   06/01/45   1,976 
 8,236,002      FNMA   4.000   07/01/45   8,745 
 802,508      FNMA   4.000   08/01/45   854 
 18,691,459      FNMA   4.000   09/01/45   19,900 
 3,600,744      FNMA   4.000   11/01/45   3,835 
 915,462      FNMA   4.000   12/01/45   975 
 9,391,077      FNMA   3.500   01/01/46   9,696 
 11,741,515      FNMA   4.000   01/01/46   12,460 
 8,377,077      FNMA   3.500   02/01/46   8,626 
 11,530,176      FNMA   3.500   06/01/46   11,906 
 2,086,514      FNMA   3.500   10/25/46   464 
 28,762,330      FNMA   3.000   11/01/46   28,738 
 31,306,977      FNMA   3.000   12/01/46   31,280 
 21,053,194   h  FNMA   3.500   12/01/46   21,630 
 2,090,935      FNMA   4.000   12/01/46   2,228 
 32,318,645      FNMA   3.000   01/01/47   32,291 
 56,030,671   h  FNMA   3.500   01/01/47   57,566 
 34,296,417      FNMA   4.000   07/01/47   36,063 
 32,930,698   h  FNMA   4.500   07/01/47   35,379 
 9,000,000   h  FNMA   4.000   07/25/47   9,459 
 3,000,000   h  FNMA   4.500   07/25/47   3,217 
 20,000,000   h  FNMA   3.500   08/25/47   20,499 
 19,000,000   h  FNMA   4.000   08/25/47   19,935 
 22      Government National Mortgage Association (GNMA)   9.000   12/15/17    0^
 4,775      GNMA   8.000   06/15/22   5 
 12,247      GNMA   6.500   08/15/23   13 
 6,201      GNMA   6.500   08/15/23   7 
 5,851,206      GNMA   2.580   08/15/25   5,820 
 76,928      GNMA   6.500   05/20/31   90 
 8,273,090      GNMA   2.640   01/15/33   8,197 
 11,604,788      GNMA   2.690   06/15/33   11,437 
 9,316,374      GNMA   3.700   10/15/33   9,867 
 84,564      GNMA   6.000   10/20/36   98 
 95,364      GNMA   6.000   01/20/37   109 
 530,762      GNMA   6.000   02/20/37   604 
 233,744      GNMA   5.000   04/15/38   257 
 154,210      GNMA   6.000   08/20/38   174 
 343,416      GNMA   6.500   11/20/38   392 
 25,830      GNMA   4.500   02/20/39   28 
 3,979,468      GNMA   4.500   09/20/39   4,343 
 8,472,083      GNMA   3.700   08/15/40   8,891 
 36,084      GNMA   4.500   08/20/41   40 
 126,575      GNMA   4.500   09/20/41   139 
 14,671,287      GNMA   3.500   10/20/42   2,790 
 26,865      GNMA   4.500   01/20/44   30 
 33,358      GNMA   4.500   02/20/44   37 
355

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$53,675      GNMA   4.500%  05/20/44  $59 
 406,617      GNMA   4.500   05/20/44   448 
 402,813      GNMA   4.500   08/20/44   443 
 406,967      GNMA   4.500   09/20/44   448 
 144,928      GNMA   4.500   10/20/44   159 
 109,913      GNMA   4.500   11/20/44   118 
 274,901      GNMA   4.500   12/20/44   303 
 407,163      GNMA   4.500   02/20/45   448 
 438,159      GNMA   4.500   08/20/45   482 
 502,945      GNMA   4.500   08/20/45   553 
 448,813      GNMA   4.500   12/20/45   494 
 14,978,186      GNMA   3.500   11/20/46   3,006 
 64,797,603      GNMA   3.000   05/20/47   65,514 
 33,926,722      GNMA   3.500   05/20/47   35,170 
 52,650,000      GNMA   3.500   06/20/47   54,579 
 11,000,000      GNMA   4.000   06/20/47   11,612 
 7,000,000   h  GNMA   3.500   07/20/47   7,249 
        TOTAL MORTGAGE BACKED           1,115,685 
                      
MUNICIPAL BONDS - 4.6%
 3,340,000      Antelope Valley-East Kern Water Agency Financing Authority4.326   06/01/36   3,363 
 4,500,000   g  Basin Electric Power Coop   6.127   06/01/41   5,076 
 3,790,000      Bay Area Water Supply & Conservation Agency   2.535   10/01/21   3,816 
 2,635,000      Bay Area Water Supply & Conservation Agency   3.015   10/01/24   2,645 
 1,170,000      Brunswick & Glynn County Development Authority   3.060   04/01/25   1,175 
 7,465,000      California Earthquake Authority   2.805   07/01/19   7,504 
 13,000,000      California Housing Finance Agency   2.966   08/01/22   13,160 
 6,165,000   g  California Pollution Control Financing Authority   5.000   07/01/27   6,174 
 8,020,000   g  California Pollution Control Financing Authority   5.000   07/01/37   8,028 
 2,500,000   g  California Pollution Control Financing Authority   5.000   11/21/45   2,502 
 3,700,000      Calleguas Municipal Water District   2.030   07/01/18   3,722 
 9,700,000      Chicago Metropolitan Water Reclamation District-Greater Chicago5.720   12/01/38   11,855 
 3,035,000      City & County of Honolulu, HI   2.668   10/01/27   2,934 
 1,250,000      City & County of Honolulu, HI   6.114   07/01/29   1,350 
 7,085,000      City & County of San Francisco CA   4.000   04/01/47   7,013 
 8,850,000      City of Austin TX Water & Wastewater System Revenue   1.933   05/15/19   8,878 
 2,750,000      City of Austin TX Water & Wastewater System Revenue   2.133   11/15/19   2,769 
 6,500,000      City of Chicago IL   7.750   01/01/42   6,625 
 7,280,000      City of Cincinnati OH Water System Revenue   2.568   12/01/21   7,431 
 635,000      City of Eugene, OR   6.320   08/01/22   718 
 1,250,000      City of Florence SC   4.250   12/01/34   1,239 
 12,500,000      City of Houston TX Utility System Revenue   2.563   05/15/20   12,720 
 2,180,000      City of Jersey City NJ   1.829   09/01/17   2,181 
 500,000      City of Jersey City NJ   2.079   09/01/18   501 
 925,000      City of Jersey City NJ   2.423   09/01/19   928 
 3,010,000      City of Norfolk VA   3.000   10/01/35   2,779 
 3,665,000      City of Norfolk VA   3.050   10/01/36   3,399 
 3,345,000      City of San Francisco CA Public Utilities Commission Water Revenue3.000   11/01/26   3,296 
 3,725,000      City of San Francisco CA Public Utilities Commission Water Revenue3.950   11/01/36   3,730 
 18,500,000      City of San Francisco CA Public Utilities Commission Water Revenue4.185   11/01/46   18,807 
356

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$1,000,000      City of San Juan Capistrano CA   3.700%  08/01/31  $1,009 
 1,000,000      Commonwealth Financing Authority   2.675   06/01/21   1,008 
 1,150,000      Commonwealth Financing Authority   2.875   06/01/22   1,162 
 2,310,000      Commonwealth Financing Authority   3.075   06/01/23   2,345 
 9,050,000      Commonwealth of Massachusetts   3.277   06/01/46   8,524 
 1,500,000      County of Miami-Dade FL Aviation Revenue   2.218   10/01/22   1,458 
 15,000,000      District of Columbia Water & Sewer Authority   4.814   10/01/14   15,901 
 2,955,000      Fiscal Year 2005 Securitization Corp   4.760   08/15/19   3,033 
 9,000,000      Florida State Board of Administration Finance Corp   2.163   07/01/19   9,051 
 15,630,000   j  Garden State Preservation Trust   0.000   11/01/22   13,673 
 1,000,000      Grant County Public Utility District No 2   5.470   01/01/34   1,070 
 1,250,000      Grant County Public Utility District No 2   4.164   01/01/35   1,241 
 4,135,000      Greene County OH   2.720   12/01/21   4,211 
 4,365,000      Greene County OH   3.120   12/01/23   4,464 
 4,615,000      Greene County OH   3.270   12/01/24   4,724 
 4,755,000      Greene County OH   3.420   12/01/25   4,872 
 1,500,000      Guadalupe Valley Electric Coop, Inc   5.671   10/01/32   1,643 
 975,000      Guadalupe-Blanco River Authority Industrial Development Corp3.287   04/15/23   986 
 5,125,000      Imperial Irrigation District Electric System Revenue   4.500   11/01/40   5,318 
 2,000,000      Kern County Water Agency Improvement District No 4   4.276   05/01/36   2,053 
 540,000      Lavaca-Navidad River Authority   3.850   08/01/26   557 
 6,430,000      Lavaca-Navidad River Authority   4.430   08/01/35   6,572 
 3,725,000      Maryland Community Development Administration Housing Revenue   3.797   03/01/39   3,587 
 920,000      Massachusetts Housing Finance Agency   4.782   12/01/20   945 
 4,650,000      Massachusetts St. Water Pollution Abatement   5.192   08/01/40   5,377 
 2,575,000      Metropolitan Council   1.200   09/01/17   2,575 
 3,500,000      Metropolitan Council   1.750   09/01/20   3,472 
 5,000,000      Metropolitan Water District of Southern California   6.250   07/01/39   5,396 
 8,000,000      Michigan Finance Authority   5.000   07/01/22   9,146 
 500,000      Michigan Finance Authority   5.000   07/01/22   564 
 8,945,000      Michigan Finance Authority   5.000   07/01/22   10,226 
 2,500,000      Michigan Finance Authority   5.000   07/01/30   2,816 
 2,000,000      Michigan Finance Authority   5.000   07/01/31   2,244 
 7,665,000      Michigan Finance Authority   3.610   11/01/32   7,389 
 8,500,000      New Jersey Economic Development Authority   4.271   06/15/20   8,736 
 7,400,000      New Jersey Economic Development Authority   5.706   06/15/30   7,855 
 3,000,000      New Jersey Economic Development Authority5.756   06/15/31   3,190 
 1,590,000      New York State Energy Research & Development Authority2.372   07/01/19   1,615 
 1,285,000      New York State Energy Research & Development Authority2.772   07/01/20   1,320 
 1,590,000      New York State Energy Research & Development Authority3.206   07/01/22   1,672 
 1,200,000      New York State Environmental Facilities Corp   2.005   06/15/19   1,203 
 1,220,000      New York State Environmental Facilities Corp   2.595   06/15/21   1,234 
 1,255,000      New York State Environmental Facilities Corp   3.045   06/15/24   1,274 
 1,225,000      New York State Environmental Facilities Corp   3.195   06/15/25   1,242 
 2,120,000      New York State Environmental Facilities Corp   3.520   07/15/27   2,187 
 500,000      New York State Environmental Facilities Corp   3.684   12/15/29   523 
 1,315,000      New York State Urban Development Corp   6.500   12/15/18   1,377 
 1,250,000   g  Niagara Area Development Corp   4.000   11/01/24   1,253 
 4,750,000      Northern California Power Agency   4.320   07/01/24   5,049 
 4,760,000      Ohio State Water Development Authority   4.879   12/01/34   5,432 
357

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$700,000      Oklahoma Water Resources Board   3.071%  04/01/22  $726 
 1,000,000      Pend Oreille County Public Utility District No Box Canyon2.787   01/01/18   1,003 
 1,000,000      Pend Oreille County Public Utility District No Box Canyon3.037   01/01/19   996 
 1,070,000      Pend Oreille County Public Utility District No Box Canyon3.621   01/01/21   1,072 
 5,000,000      Pend Oreille County Public Utility District No Box Canyon5.000   01/01/30   5,197 
 3,000,000      Pittsburgh Water & Sewer Authority   6.610   09/01/24   3,440 
 1,000,000      Sacramento Area Flood Control Agency   2.699   10/01/22   997 
 435,000      San Francisco City & County Redevelopment Agency   3.113   08/01/22   445 
 2,285,000      San Francisco City & County Redevelopment Agency   4.375   08/01/44   2,361 
 1,000,000      South Dakota Conservancy District   1.620   08/01/18   1,000 
 3,330,000      South Dakota Conservancy District   1.648   08/01/18   3,332 
 2,920,000      South Dakota Conservancy District   1.898   08/01/19   2,927 
 38,830,000      State of California   3.750   10/01/37   39,920 
 10,050,000      State of California   4.988   04/01/39   10,695 
 2,435,000      State of California Department of Water Resources   2.437   12/01/21   2,490 
 2,228,000      State of Illinois   4.350   06/01/18   2,234 
 10,500,000      State of Illinois   5.000   02/01/19   10,738 
 9,800,000      State of Illinois   5.000   02/01/20   10,131 
 8,000,000      State of Illinois   5.000   02/01/22   8,327 
 9,000,000      State of Illinois   5.520   04/01/38   8,075 
 16,225,000      State of Louisiana   1.260   08/01/18   16,157 
 1,500,000      State of Louisiana   1.769   08/01/20   1,492 
 4,505,000      State of Michigan   3.375   12/01/20   4,714 
 4,405,000      State of Michigan   3.590   12/01/26   4,584 
 2,500,000      State of Ohio   5.412   09/01/28   2,946 
 2,500,000      State of Texas   2.749   10/01/23   2,545 
 5,000,000      State of Texas   6.072   10/01/29   5,420 
 2,025,000      State of Texas   3.576   08/01/34   2,058 
 3,370,000      State of Texas   3.726   08/01/43   3,336 
 3,000      State of Wisconsin   5.700   05/01/26   4 
 9,480,000      Suffolk County Water Authority   3.500   06/01/39   9,596 
 4,000,000      Suffolk County Water Authority   4.000   06/01/39   4,245 
 1,650,000      Syracuse Industrial Development Agency   5.000   01/01/36   1,628 
 2,280,000      Tampa Bay Water   2.612   10/01/25   2,207 
 3,225,000      Tampa Bay Water   2.782   10/01/26   3,141 
 3,000,000      Tampa Bay Water   2.952   10/01/27   2,952 
 1,255,000      Texas Water Development Board   4.248   10/15/35   1,256 
 4,170,000      Texas Water Development Board   4.648   04/15/50   4,201 
 5,000,000      Tuolumne Wind Project Authority   6.918   01/01/34   6,411 
 3,035,000      University of California   3.809   05/15/28   3,178 
 11,400,000      University of California   4.009   05/15/30   12,107 
 1,000,000      University of Cincinnati   3.250   06/01/29   1,022 
 1,560,000      University of Cincinnati   3.650   06/01/34   1,596 
 1,615,000      University of Cincinnati   3.700   06/01/35   1,653 
 18,000,000      University of New Mexico   3.532   06/20/32   18,288 
 17,500,000      University of Virginia   3.570   04/01/45   17,856 
 5,000,000      Vermont Educational & Health Buildings Financing Agency4.000   12/01/42   5,151 
 3,000,000      Vermont Educational & Health Buildings Financing Agency4.000   12/01/46   3,072 
 12,710,000   g  Virgin Islands Water & Power Authority-Electric System5.500   11/15/18   12,688 
 1,000,000      Washington County Clean Water Services   5.078   10/01/24   1,149 
358

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$695,000      Water Works Board of the City of Birmingham   1.509%  01/01/19  $690 
 2,470,000      Water Works Board of the City of Birmingham   1.788   01/01/20   2,436 
 3,750,000      Water Works Board of the City of Birmingham   1.988   01/01/21   3,693 
 3,100,000      Water Works Board of the City of Birmingham   2.192   01/01/22   3,033 
600,000      West Virginia Water Development Authority   5.000  11/01/21  683 
 1,345,000      West Virginia Water Development Authority   5.000   11/01/22   1,562 
 1,000,000      West Virginia Water Development Authority   5.000   11/01/23   1,182 
        TOTAL MUNICIPAL BONDS           636,130 
U.S. TREASURY SECURITIES - 2.3%
 6,000,000      United States Treasury Bond   3.125   02/15/43   6,346 
 1,000,000      United States Treasury Bond   3.375   05/15/44   1,106 
 10,285,000      United States Treasury Bond   2.500   05/15/46   9,585 
 66,090,000      United States Treasury Bond   2.875   11/15/46   66,567 
 63,995,000      United States Treasury Bond   3.000   02/15/47   66,130 
 19,860,000      United States Treasury Note   1.125   01/31/19   19,789 
 2,750,000      United States Treasury Note   1.250   04/30/19   2,743 
 5,750,000      United States Treasury Note   1.625   03/15/20   5,768 
 8,380,000      United States Treasury Note   1.500   05/15/20   8,370 
 13,285,000      United States Treasury Note   1.375   05/31/21   13,100 
 58,600,000      United States Treasury Note   1.750   05/31/22   58,250 
 4,150,000      United States Treasury Note   2.000   07/31/22   4,168 
 4,500,000      United States Treasury Note   1.750   09/30/22   4,459 
 12,234,500      United States Treasury Note   1.625   11/15/22   12,029 
 13,130,000      United States Treasury Note   1.750   01/31/23   12,965 
 5,200,000      United States Treasury Note   1.500   03/31/23   5,057 
 1,500,000      United States Treasury Note   1.375   09/30/23   1,439 
 7,300,000      United States Treasury Note   1.625   10/31/23   7,109 
 20,772,000      United States Treasury Note   2.375   05/15/27   20,906 
        TOTAL U.S. TREASURY SECURITIES           325,886 
                      
        TOTAL GOVERNMENT BONDS           3,381,583 
        (Cost $3,356,409)             
                      
STRUCTURED ASSETS - 3.2%
                      
ASSET BACKED - 1.6%
 2,040,485   g  Alterna Funding I LLC   1.639   02/15/21   2,020 
        Series - 2014 1A (Class NOTE)             
 925,000   i  Basic Asset Backed Securities Trust   1.526   04/25/36   881 
        Series - 2006 1 (Class A3)             
 4,000,000   g  Capital Automotive REIT   3.660   10/15/44   4,013 
        Series - 2014 1A (Class A)             
 3,993,333   g  Capital Automotive REIT   3.870   04/15/47   4,041 
        Series - 2017 1A (Class A1)             
 4,001,302   i  Chase Funding Loan Acquisition Trust   2.071   06/25/34   3,686 
        Series - 2004 OPT1 (Class M1)             
 5,865,000   g  DB Master Finance LLC   3.262   02/20/45   5,900 
        Series - 2015 1A (Class A2I)             
 7,513,188   g  Domino’s Pizza Master Issuer LLC   5.216   01/25/42   7,517 
        Series - 2012 1A (Class A2)             
 1,975,000   g  Domino’s Pizza Master Issuer LLC   3.484   10/25/45   1,995 
        Series - 2015 1A (Class A2I)             
 888,750   g  Domino’s Pizza Master Issuer LLC   4.474   10/25/45   917 
        Series - 2015 1A (Class A2II)             
 12,100,000   g,h  Domino’s Pizza Master Issuer LLC   3.082   07/25/47   12,041 
        Series - 2017 1A (Class A2II)             
359

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$13,046,171   g  HERO Funding Trust   3.840%  09/21/40  $13,307 
        Series - 2015 1A (Class A)             
 3,036,874   g  HERO Funding Trust   3.990   09/21/40   3,102 
        Series - 2014 2A (Class A)             
 6,270,506   g  HERO Funding Trust   3.750   09/20/41   6,472 
        Series - 2016 2A (Class A)             
 5,990,187   g  HERO Funding Trust   4.050   09/20/41   6,155 
        Series - 2016 1A (Class A)             
 2,220,829   g  HERO Funding Trust   3.080   09/20/42   2,252 
        Series - 2016 3A (Class A1)             
 13,047,750   g  HERO Funding Trust   3.710   09/20/47   13,000 
        Series - 2017 1A (Class A1)             
 1,394,147   g  HERO Residual Funding   4.500   09/21/42   1,398 
        Series - 2016 1R (Class A1)             
 500,000   g  Hertz Vehicle Financing LLC   6.440   02/25/19   509 
        Series - 2010 1A (Class B3)             
 883,620   i  Lehman XS Trust   1.466   02/25/36   872 
        Series - 2006 1 (Class 1A1)             
 152,551   i  Park Place Securities, Inc Asset-Backed Pass-Through Certificates1.996   01/25/36   153 
        Series - 2005 WCH1 (Class M2)             
 7,111,094   g  Renew   3.670   09/20/52   7,088 
        Series - 2017 1A (Class A)             
 326,556   i  Residential Funding Mortgage Securities II, Inc   6.010   02/25/36   327 
        Series - 2006 HI1 (Class M1) (Step Bond)             
 157,501   i  Residential Funding Mortgage Securities II, Inc   6.060   02/25/36   165 
        Series - 2006 HI1 (Class M2) (Step Bond)             
 800,000      Santander Drive Auto Receivables Trust   1.960   05/15/20   801 
        Series - 2015 5 (Class B)             
 800,000      Santander Drive Auto Receivables Trust   2.740   12/15/21   804 
        Series - 2015 5 (Class C)             
 539,338   g  Sierra Receivables Funding Co LLC   1.590   11/20/29   538 
        Series - 2013 1A (Class A)             
 842,839   g  Sierra Timeshare Receivables Funding LLC   2.580   09/20/32   845 
        Series - 2015 3A (Class A)             
 596,348   g  Sierra Timeshare Receivables Funding LLC   3.080   09/20/32   598 
        Series - 2015 3A (Class B)             
 5,445,259   g  SolarCity LMC   4.590   04/20/44   5,411 
        Series - 2014 1 (Class A)             
 26,461,213   g  SolarCity LMC   4.020   07/20/44   25,838 
        Series - 2014 2 (Class A)             
 6,311,346   g  SolarCity LMC   4.800   09/20/48   6,402 
        Series - 2016 A (Class A)             
 3,982,780   g  SpringCastle America Funding LLC   3.050   04/25/29   4,006 
        Series - 2016 AA (Class A)             
 3,949,893   i  Structured Asset Securities Corp Mortgage Loan Trust   2.551   04/25/35   3,755 
        Series - 2005 7XS (Class 2A1A)             
 14,746,158      Toyota Auto Receivables Owner Trust   1.270   05/15/19   14,735 
        Series - 2015 B (Class A3)             
 22,500,000      Toyota Auto Receivables Owner Trust   1.300   04/15/20   22,437 
        Series - 2016 B (Class A3)             
 22,500,000      Toyota Auto Receivables Owner Trust   1.740   09/15/20   22,556 
        Series - 2015 B (Class A4)             
 7,735,827   g,i  VOLT LVIII LLC   3.375   05/28/47   7,733 
        Series - 2017 NPL5 (Class A1) (Step Bond)             
360

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$2,500,000   g,i  VOLT LVIII LLC   5.375%  05/28/47  $2,490 
        Series - 2017 NPL5 (Class A2) (Step Bond)             
 363,216   g,m  Wachovia Amortization Controlled Heloc NIM   5.683   08/12/47   366 
        Series - 2006 N1 (Class N1)             
 301,349   g,i  Wachovia Loan Trust   1.576   05/25/35   299 
        Series - 2005 SD1 (Class A)             
 3,930,000   g  Wendys Funding LLC   3.371   06/15/45   3,964 
        Series - 2015 1A (Class A2I)             
        TOTAL ASSET BACKED           221,389 
                      
OTHER MORTGAGE BACKED - 1.6%
 1,113,399   g  Banc of America Commercial Mortgage Trust   5.416   01/15/49   1,120 
        Series - 2007 1 (Class AM)             
 1,977,245   i  Banc of America Commercial Mortgage Trust   5.482   01/15/49   1,975 
        Series - 2007 1 (Class AMFX)             
 760,000   i  Banc of America Commercial Mortgage Trust   5.809   02/10/51   777 
        Series - 2007 4 (Class AJ)             
 12,500,000   g  BBCMS Trust   3.593   09/15/32   13,072 
        Series - 2015 MSQ (Class A)             
 6,000,000   g  BBCMS Trust   3.894   09/15/32   6,195 
        Series - 2015 MSQ (Class B)             
 2,590,000   i  Bear Stearns Commercial Mortgage Securities Trust   6.136   09/11/42   2,600 
        Series - 2007 T28 (Class AJ)             
 500,000   i  Bear Stearns Commercial Mortgage Securities Trust   5.878   06/11/50   504 
        Series - 2007 PW17 (Class AJ)             
 5,000,000   g,i  Cityline Commercial Mortgage Trust   2.871   11/10/31   4,982 
        Series - 2016 CLNE (Class A)             
 3,925,000   i  COBALT CMBS Commercial Mortgage Trust   5.771   05/15/46   4,018 
        Series - 2007 C3 (Class AJ)             
 257,536   i  COBALT CMBS Commercial Mortgage Trust   5.771   05/15/46   260 
        Series - 2007 C3 (Class AM)             
 20,761,000   g  COMM Mortgage Trust   3.544   03/10/31   20,972 
        Series - 2013 WWP (Class C)             
 4,000,000   i  COMM Mortgage Trust   5.796   12/10/49   3,998 
        Series - 2007 C9 (Class B)             
 3,500,000   g,i  COMM Mortgage Trust   5.991   12/10/49   3,490 
        Series - 2007 C9 (Class G)             
 5,000,000   i  Connecticut Avenue Securities   5.466   01/25/29   5,519 
        Series - 2016 C04 (Class 1M2)             
 2,250,000   i  Connecticut Avenue Securities   5.666   01/25/29   2,481 
        Series - 2016 C05 (Class 2M2)             
 2,775,000   i  Credit Suisse Commercial Mortgage Trust   5.903   09/15/39   2,842 
        Series - 2007 C4 (Class A1AJ)             
 6,000,000   i  Credit Suisse Commercial Mortgage Trust   5.949   09/15/39   6,121 
        Series - 2007 C4 (Class AJ)             
 1,474,953   i  Credit Suisse Commercial Mortgage Trust   5.625   01/15/49   1,513 
        Series - 2007 C2 (Class AJ)             
 2,000,000   g  Credit Suisse Mortgage Capital Certificates   5.626   05/15/23   2,130 
        Series - 2006 OMA (Class D)             
 6,650,000   g,i  CSAIL Commercial Mortgage Trust   3.677   06/15/37   6,843 
        Series - 2017 C8 (Class 85BA)             
 8,750,000   g,i  CSAIL Commercial Mortgage Trust   3.677   06/15/37   8,996 
        Series - 2017 C8 (Class 85BB)             
361

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$1,715,000   g,i  DBUBS Mortgage Trust   5.871%  11/10/46  $1,873 
        Series - 2011 LC1A (Class C)             
 500,000   i  GE Commercial Mortgage Corp   5.606   12/10/49   504 
        Series - 2007 C1 (Class AM)             
 3,660,000   i  GMAC Commercial Mortgage Securities, Inc   4.984   12/10/41   3,741 
        Series - 2004 C3 (Class C)             
 10,000,000   g  GRACE Mortgage Trust   3.369   06/10/28   10,385 
        Series - 2014 GRCE (Class A)             
 6,317,426   i  Greenwich Capital Commercial Funding Corp   5.867   12/10/49   6,334 
        Series - 2007 GG11 (Class AM)             
 2,535,000   g,i  GS Mortgage Securities Corp II   5.356   12/10/43   2,719 
        Series - 2010 C2 (Class B)             
 5,000,000   g  Hudson Yards Mortgage Trust   2.835   08/10/38   4,879 
        Series - 2016 10HY (Class A)             
 5,000,000   g,i  Hudson Yards Mortgage Trust   3.076   08/10/38   4,875 
        Series - 2016 10HY (Class B)             
 5,000,000   g,i  Hudson Yards Mortgage Trust   3.076   08/10/38   4,799 
        Series - 2016 10HY (Class C)             
 484,792   i  Impac CMB Trust   1.876   03/25/35   451 
        Series - 2004 11 (Class 2A1)             
 3,025,000   g,i  JP Morgan Chase Commercial Mortgage Securities Trust5.581   07/15/46   3,257 
        Series - 2011 C4 (Class C)             
 2,367,088   i  JP Morgan Chase Commercial Mortgage Securities Trust6.192   02/15/51   2,400 
        Series - 2007 LD12 (Class AM)             
 839,453   i  LB-UBS Commercial Mortgage Trust   5.737   03/15/39   848 
        Series - 2006 C3 (Class C)             
 59,458   i  LB-UBS Commercial Mortgage Trust   5.533   02/15/40   59 
        Series - 2007 C1 (Class C)             
 3,390,000   i  LB-UBS Commercial Mortgage Trust   5.563   02/15/40   3,377 
        Series - 2007 C1 (Class D)             
 597,008   i  LB-UBS Commercial Mortgage Trust   6.114   07/15/40   598 
        Series - 2007 C6 (Class AM)             
 5,304,852   g,i  LVII Resecuritization Trust   3.851   07/25/47   5,308 
        Series - 2015 A (Class A)             
 645,000   i  Merrill Lynch Mortgage Trust   6.542   02/12/51   652 
        Series - 0 C1 (Class AJA)             
 2,750,000   i  ML-CFC Commercial Mortgage Trust   5.526   03/12/51   2,748 
        Series - 2007 6 (Class AM)             
 21,000,000   g  Morgan Stanley Capital I Trust   3.350   07/13/29   21,783 
        Series - 2014 CPT (Class A)             
 1,241,453   i  Morgan Stanley Capital I Trust   5.389   11/12/41   1,243 
        Series - 2006 HQ10 (Class AJ)             
 358,455   i  Morgan Stanley Capital I Trust   5.834   10/15/42   359 
        Series - 2006 IQ11 (Class AJ)             
 1,810,458   i  Morgan Stanley Capital I Trust   5.861   04/12/49   1,817 
        Series - 2007 HQ12 (Class C)             
 1,943,526   i  Morgan Stanley Capital I Trust   5.907   06/11/49   1,942 
        Series - 2007 IQ15 (Class AM)             
 2,400,000   i  Morgan Stanley Capital I Trust   5.907   06/11/49   2,405 
        Series - 2007 IQ15 (Class AJ)             
 4,000,000   i  Morgan Stanley Capital I Trust   6.372   12/12/49   3,645 
        Series - 2007 IQ16 (Class AJFX)             
 17,385,000   g  OBP Depositor LLC Trust   4.646   07/15/45   18,563 
        Series - 2010 OBP (Class A)             
362

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

PRINCIPAL      ISSUER  RATE  MATURITY
DATE
  VALUE
(000)
 
$1,666,540   i  Structured Agency Credit Risk Debt Note (STACR)   3.616%  01/25/25  $1,674 
        Series - 2015 DN1 (Class M2)             
 5,965,718   i  Structured Agency Credit Risk Debt Note (STACR)   3.416   03/25/25   6,035 
        Series - 2015 HQ1 (Class M2)             
 750,000   i  Structured Agency Credit Risk Debt Note (STACR)   5.016   03/25/25   816 
        Series - 2015 HQ1 (Class M3)             
 1,082,282   i  Structured Agency Credit Risk Debt Note (STACR)   2.466   10/25/28   1,085 
        Series - 2016 DNA2 (Class M1)             
 1,750,000   i  Structured Agency Credit Risk Debt Note (STACR)   2.566   03/25/29   1,778 
        Series - 2016 HQA3 (Class M2)             
 890,000   i  Wachovia Bank Commercial Mortgage Trust   5.818   05/15/46   895 
        Series - 2007 C34 (Class AM)             
 3,000,000   i  Wachovia Bank Commercial Mortgage Trust   6.214   05/15/46   3,004 
        Series - 2007 C34 (Class B)             
 1,700,000   i  Wachovia Bank Commercial Mortgage Trust   6.271   05/15/46   1,701 
        Series - 2007 C34 (Class AJ)             
 1,164,551   i  Wachovia Bank Commercial Mortgage Trust   5.660   04/15/47   1,189 
        Series - 2007 C31 (Class AJ)             
 1,000,000   i  Wachovia Bank Commercial Mortgage Trust   5.700   04/15/47   1,005 
        Series - 2007 C31 (Class B)             
 700,000   i  Wachovia Bank Commercial Mortgage Trust   6.126   04/15/47   710 
        Series - 2007 C31 (Class C)             
 1,586,051   g  Wachovia Bank Commercial Mortgage Trust   5.703   06/15/49   1,586 
        Series - 2007 C32 (Class AMFX)             
 12,830,000   i  Wachovia Bank Commercial Mortgage Trust   5.750   06/15/49   12,957 
        Series - 2007 C32 (Class AJ)             
 875,000   i  Wachovia Bank Commercial Mortgage Trust   5.750   06/15/49   867 
        Series - 2007 C32 (Class B)             
 510,000   i  Wachovia Bank Commercial Mortgage Trust   5.953   02/15/51   510 
        Series - 2007 C33 (Class AM)             
        TOTAL OTHER MORTGAGE BACKED           247,784 
                      
        TOTAL STRUCTURED ASSETS           469,173 
        (Cost $469,194)             
                      
        TOTAL BONDS           5,471,301 
        (Cost $5,418,830)             
                      
SHARES      COMPANY             
COMMON STOCKS - 59.6%
                      
AUTOMOBILES & COMPONENTS - 1.4%             
 86,600      Aisin Seiki Co Ltd           4,452 
 135,672      Bayerische Motoren Werke AG.           12,618 
 94,327      Bayerische Motoren Werke AG. (Preference)           7,784 
 14,599      BorgWarner, Inc           618 
 12,423      Delphi Automotive plc           1,089 
 249,782      Denso Corp           10,600 
 2,867,343      Ford Motor Co           32,086 
 316,503      Fuji Heavy Industries Ltd           10,732 
 239,540   e  Harley-Davidson, Inc           12,940 
363

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 558,280      Honda Motor Co Ltd  $15,296 
 220,920   *  Magna International, Inc   10,233 
 412,459      Mazda Motor Corp   5,795 
 53,028      Michelin (C.G.D.E.) (Class B)   7,058 
 24,619   *  Modine Manufacturing Co   407 
 13,300      NGK Spark Plug Co Ltd   285 
 1,176,264      Nissan Motor Co Ltd   11,745 
 30,933      Renault S.A.   2,799 
 277,400      Sumitomo Electric Industries Ltd   4,292 
 99,404   *  Tesla, Inc   35,945 
 1,700   *  Visteon Corp   174 
 135,700      Yamaha Motor Co Ltd   3,521 
        TOTAL AUTOMOBILES & COMPONENTS   190,469 
              
BANKS - 4.9%
 37,611      Ameris Bancorp   1,813 
 54,352      Associated Banc-Corp   1,370 
 850,317      Australia & New Zealand Banking Group Ltd   18,768 
 4,746,861      Banca Intesa S.p.A.   15,099 
 1,966,153      Banca Intesa S.p.A. RSP   5,849 
 1,923      Bancfirst Corp   186 
 2,043,482      Banco Bilbao Vizcaya Argentaria S.A.   17,022 
 3,214,045      Banco de Sabadell S.A.   6,539 
 1,138,820      Bank Hapoalim Ltd   7,679 
 513,976      Bank Leumi Le-Israel   2,497 
 46,788      Bank Mutual Corp   428 
 1,080      Bank of Hawaii Corp   90 
 216,941   *  Bank of Montreal   15,929 
 335,776   e  Bank of Nova Scotia   20,199 
 3,264      Bank of the Ozarks, Inc   153 
 3,730      BankUnited   126 
 14,280      Banner Corp   807 
 765,740      BB&T Corp   34,772 
 346      Bendigo Bank Ltd   3 
 17,567      Beneficial Bancorp, Inc   264 
 41,663      Berkshire Hills Bancorp, Inc   1,464 
 2,264,500      BOC Hong Kong Holdings Ltd   10,837 
 970      BOK Financial Corp   82 
 20,664      Brookline Bancorp, Inc   302 
 14,021      Bryn Mawr Bank Corp   596 
 2,190,389      CaixaBank S.A.   10,471 
 19,106      Camden National Corp   820 
 87,694   *,e  Canadian Imperial Bank of Commerce/Canada   7,127 
 28,674      Capital Bank Financial Corp   1,092 
 3,360      Cathay General Bancorp   128 
 9,281      Chemical Financial Corp   449 
 264,547   e  CIT Group, Inc   12,883 
 713,525      Citizens Financial Group, Inc   25,459 
 5,178      City Holding Co   341 
 2,120      Columbia Banking System, Inc   84 
 234,302      Comerica, Inc   17,160 
 66,596      Commerce Bancshares, Inc   3,785 
 3,900   *  Commerzbank AG.   47 
364

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 415,044      Commonwealth Bank of Australia  $26,404 
 3,936      Community Bank System, Inc   220 
 3,149      Community Trust Bancorp, Inc   138 
 9,365      Cullen/Frost Bankers, Inc   879 
 35,598   *  Customers Bancorp, Inc   1,007 
 812,693      DBS Group Holdings Ltd   12,232 
 45,442      DNB NOR Holding ASA   774 
 11,057      East West Bancorp, Inc   648 
 39,046   *  FCB Financial Holdings, Inc   1,864 
 11,562      Federal Agricultural Mortgage Corp (Class C)   748 
 30,988      Fifth Third Bancorp   804 
 115,446      First Commonwealth Financial Corp   1,464 
 6,726      First Financial Bancorp   186 
 25,728   e  First Financial Bankshares, Inc   1,137 
 1,399      First Financial Corp   66 
 25,682      First Interstate Bancsystem, Inc   955 
 26,737      First Merchants Corp   1,073 
 2,260      First Republic Bank   226 
 20,089      Flushing Financial Corp   566 
 16,186      FNB Corp   229 
 2,590      Glacier Bancorp, Inc   95 
 5,441      Hancock Holding Co   267 
 484,800      Hang Seng Bank Ltd   10,142 
 7,159      Hanmi Financial Corp   204 
 21,059      Heartland Financial USA, Inc   992 
 25,997      Heritage Financial Corp   689 
 31,813   *  HomeStreet, Inc   880 
 21,937   *  HomeTrust Bancshares, Inc   535 
 91,000      Hope Bancorp, Inc   1,697 
 15,980      Independent Bank Corp (MA)   1,065 
 1,095,846      ING Groep NV   18,917 
 1,147      International Bancshares Corp   40 
 136,208      Investors Bancorp, Inc   1,820 
 144,089      KBC Groep NV   10,925 
 1,230,729      Keycorp   23,064 
 13,009      Lakeland Financial Corp   597 
 2,791      Live Oak Bancshares, Inc   68 
 168,014      M&T Bank Corp   27,210 
 1,800      MB Financial, Inc   79 
 58,589   *  MGIC Investment Corp   656 
 245,000      Mitsui Trust Holdings, Inc   8,800 
 7,415      Mizrahi Tefahot Bank Ltd   135 
 8,418,421      Mizuho Financial Group, Inc   15,435 
 787,169      National Australia Bank Ltd   17,907 
 31,271      National Bank Holdings Corp   1,035 
 785,365      Natixis   5,272 
 12,836      NBT Bancorp, Inc   474 
 623,224      New York Community Bancorp, Inc   8,183 
 1,094,967      Nordea Bank AB   13,946 
 54,855      Northfield Bancorp, Inc   941 
 58,431   e  OFG Bancorp   584 
 19,038      Old National Bancorp   328 
365

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 23,224      Opus Bank  $562 
 21,876      PacWest Bancorp   1,022 
 15,278      People’s United Financial, Inc   270 
 19,960      Pinnacle Financial Partners, Inc   1,254 
 350,934      PNC Financial Services Group, Inc   43,821 
 971,340      Regions Financial Corp   14,220 
 993,900      Resona Holdings, Inc   5,490 
 8,068      S&T Bancorp, Inc   289 
 6,272      ServisFirst Bancshares, Inc   231 
 216,972      Skandinaviska Enskilda Banken AB (Class A)   2,627 
 26,162      Southside Bancshares, Inc   914 
 1,324,928   *  Standard Chartered plc   13,419 
 17,563      State Bank & Trust Co   476 
 8,646      Stock Yards Bancorp, Inc   336 
 5,862      Stonegate Bank   271 
 31,853   *  SVB Financial Group   5,599 
 472,823      Svenska Handelsbanken AB   6,772 
 282,989      Swedbank AB (A Shares)   6,907 
 800   *  Texas Capital Bancshares, Inc   62 
 14,003      TFS Financial Corp   217 
 63,097   *  The Bancorp, Inc   478 
 468,928      Toronto-Dominion Bank   23,631 
 10,795      TowneBank   333 
 12,715      Trico Bancshares   447 
 27,461   *  Tristate Capital Holdings, Inc   692 
 1,700      Trustmark Corp   55 
 9,293      UMB Financial Corp   696 
 33,564      Umpqua Holdings Corp   616 
 19,739      Union Bankshares Corp   669 
 23,476   e  United Bankshares, Inc   920 
 55,304      United Financial Bancorp, Inc (New)   923 
 15,008      Univest Corp of Pennsylvania   450 
 924,485      US Bancorp   47,999 
 36,494   *  Walker & Dunlop, Inc   1,782 
 13,326      Webster Financial Corp   696 
 8,948      WesBanco, Inc   354 
 13,401   e  Westamerica Bancorporation   751 
 51,655   *  Western Alliance Bancorp   2,541 
 893,547   e  Westpac Banking Corp   20,921 
 1,110      Wintrust Financial Corp   85 
 5,244      WSFS Financial Corp   238 
 41,499      Zions Bancorporation   1,822 
        TOTAL BANKS   679,180 
              
CAPITAL GOODS - 4.8%
 270,211      3M Co   56,255 
 18,212      A.O. Smith Corp   1,026 
 618,509      ABB Ltd   15,352 
 881   e  Acuity Brands, Inc   179 
 4,320      AGCO Corp   291 
 71,424   e  Air Lease Corp   2,668 
 4,760      Allegion plc   386 
 291,683      Ametek, Inc   17,667 
366

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 164,837      Arconic, Inc  $3,734 
 17,429      Argan, Inc   1,046 
 73,600      Asahi Glass Co Ltd   3,108 
 27,025      Assa Abloy AB   596 
 289,780      Atlas Copco AB (A Shares)   11,143 
 290,789      Atlas Copco AB (B Shares)   10,051 
 65,507      Barnes Group, Inc   3,834 
 2,120   *  Beacon Roofing Supply, Inc   104 
 28,642      Briggs & Stratton Corp   690 
 73,289   *  Builders FirstSource, Inc   1,123 
 3,870      Carlisle Cos, Inc   369 
 237,907      Caterpillar, Inc   25,566 
 16,918   *  Chart Industries, Inc   588 
 2,850   e  Chicago Bridge & Iron Co NV   56 
 818,769      CNH Industrial NV   9,285 
 216,245      Compagnie de Saint-Gobain   11,549 
 197,401      Cummins, Inc   32,022 
 115,600      Daikin Industries Ltd   11,860 
 925      DCC plc   84 
 124,686      Deere & Co   15,410 
 82,308   *  DigitalGlobe, Inc   2,741 
 9,530      Donaldson Co, Inc   434 
 19,038      Dover Corp   1,527 
 17,985   *  DXP Enterprises, Inc   621 
 350,156      Eaton Corp   27,253 
 4,718      EMCOR Group, Inc   308 
 38,544   *  Esterline Technologies Corp   3,654 
 152,300      Fastenal Co   6,630 
 29,348      Finning International, Inc   575 
 11,415      Flowserve Corp   530 
 7,580      Fortune Brands Home & Security, Inc   495 
 3,430      Graco, Inc   375 
 31,785      H&E Equipment Services, Inc   649 
 117,926      Hexcel Corp   6,225 
 115,000      Hino Motors Ltd   1,284 
 256,189      Illinois Tool Works, Inc   36,699 
 142,451      Ingersoll-Rand plc   13,019 
 2,930      ITT, Inc   118 
 548,041      Johnson Controls International plc   23,763 
 35,030      Kaman Corp   1,747 
 552,000      Kawasaki Heavy Industries Ltd   1,643 
 1,195,870      Keppel Corp Ltd   5,461 
 57,871   *,e  KEYW Holding Corp, The   541 
 445,800      Komatsu Ltd   11,443 
 362,687      Koninklijke Philips Electronics NV   12,911 
 531,700      Kubota Corp   8,987 
 52,980      L3 Technologies, Inc   8,852 
 2,980      Lennox International, Inc   547 
 3,716      Lincoln Electric Holdings, Inc   342 
 436,385      Masco Corp   16,674 
 430,602      Meggitt plc   2,676 
 628,100      Mitsubishi Corp   13,203 
367

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 848,700      Mitsubishi Electric Corp  $12,274 
 3,770      MSC Industrial Direct Co (Class A)   324 
 20,156   *  MYR Group, Inc   625 
 83,000      NGK Insulators Ltd   1,664 
 228,900      NSK Ltd   2,880 
 6,360      Oshkosh Truck Corp   438 
 61,831      Osram Licht AG.   4,936 
 154,097      Owens Corning, Inc   10,312 
 126,765      PACCAR, Inc   8,372 
 41,585      Parker-Hannifin Corp   6,646 
 110,539      Pentair plc   7,355 
 249,824   *,e  Plug Power, Inc   510 
 170,997   *  Quanta Services, Inc   5,629 
 247,163   e  Rexel S.A.   4,039 
 35,911      Rockwell Automation, Inc   5,816 
 227,476      Rockwell Collins, Inc   23,903 
 56,524      Roper Industries, Inc   13,087 
 17,377   *  Rush Enterprises, Inc (Class A)   646 
 136,953      Sandvik AB   2,156 
 191,724      Schneider Electric S.A.   14,734 
 1,554   *,e  Sensata Technologies Holding BV   66 
 164,505      Siemens AG.   22,628 
 2,873      Snap-On, Inc   454 
 10,800      Stanley Works   1,520 
 786,200      Sumitomo Corp   10,252 
 22,205   *  Teledyne Technologies, Inc   2,835 
 5,280      Timken Co   244 
 22,276   *  Titan Machinery, Inc   401 
 175,100      Toyota Tsusho Corp   5,265 
 67,690      TransDigm Group, Inc   18,200 
 1,172      Travis Perkins plc   22 
 52,269      Triton International Ltd   1,748 
 20,734   *  United Rentals, Inc   2,337 
 10,935   *  Veritiv Corp   492 
 43,367      Vestas Wind Systems AS   4,006 
 3,700      W.W. Grainger, Inc   668 
 34,781      Wabash National Corp   765 
 4,620   *  WABCO Holdings, Inc   589 
 122,104      Wartsila Oyj (B Shares)   7,221 
 3,753   *  Welbilt, Inc   71 
 72,413   *  Wesco Aircraft Holdings, Inc   786 
 3,950   *  WESCO International, Inc   226 
 156,152      Wolseley plc   9,584 
 19,775      Woodward Governor Co   1,336 
 8,920      Xylem, Inc   494 
        TOTAL CAPITAL GOODS   666,525 
              
COMMERCIAL & PROFESSIONAL SERVICES - 0.4%
 2,604      ABM Industries, Inc   108 
 138,545   *  ACCO Brands Corp   1,614 
 25,543      Adecco S.A.   1,946 
 297,895      Brambles Ltd   2,228 
 544,551      Capita Group plc   4,907 
368

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 273,810   *  Copart, Inc  $8,704 
 4,400   e  Covanta Holding Corp   58 
 20,242      Exponent, Inc   1,180 
 21,492      Heidrick & Struggles International, Inc   467 
 11,793   *  ICF International, Inc   555 
 16,650      Insperity, Inc   1,182 
 74,708      Intertek Group plc   4,104 
 1,690      KAR Auction Services, Inc   71 
 16,221      Kelly Services, Inc (Class A)   364 
 18,783      Kforce, Inc   368 
 19,001      Manpower, Inc   2,122 
 38,808   *,m  Media General, Inc   19 
 23,089   *  Mistras Group, Inc   507 
 2,100      Mobile Mini, Inc   63 
 63,125   *  Navigant Consulting, Inc   1,247 
 1,000   *  On Assignment, Inc   54 
 11,730      Pitney Bowes, Inc   177 
 21,731      Resources Connection, Inc   298 
 115,946      Robert Half International, Inc   5,557 
 50,157   *  RPX Corp   700 
 8,300      Secom Co Ltd   632 
 3,993      SGS S.A.   9,682 
 1,544   *  SP Plus Corp   47 
 8,899   *  Team, Inc   209 
 9,438      Tetra Tech, Inc   432 
 23,633      Viad Corp   1,117 
 151,464      Waste Management, Inc   11,110 
        TOTAL COMMERCIAL & PROFESSIONAL SERVICES   61,829 
              
CONSUMER DURABLES & APPAREL - 1.1%
 70,574      Adidas-Salomon AG.   13,533 
 497,409      Barratt Developments plc   3,653 
 30,182      Berkeley Group Holdings plc   1,269 
 263,458      Burberry Group plc   5,701 
 36,220      CalAtlantic Group, Inc   1,280 
 83,671      Callaway Golf Co   1,069 
 3,110      Carter’s, Inc   277 
 20,968   *  Century Communities, Inc   520 
 35,525   e  Christian Dior S.A.   10,158 
 10,831      Cie Financiere Richemont S.A.   896 
 7,890      Coach, Inc   374 
 11,168      CSS Industries, Inc   292 
 20,506      Ethan Allen Interiors, Inc   662 
 9,740      Garmin Ltd   497 
 23,958   e  Hanesbrands, Inc   555 
 3,276      Hasbro, Inc   365 
 15,890   *  iRobot Corp   1,337 
 102,309   *  Kate Spade & Co   1,892 
 28,652      Libbey, Inc   231 
 7,290   *  Lululemon Athletica, Inc   435 
 940,400      Matsushita Electric Industrial Co Ltd   12,813 
 123,163      Mattel, Inc   2,652 
369

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 34,564   *  Meritage Homes Corp  $1,459 
 10,412   *  Michael Kors Holdings Ltd   378 
 12,312   *  Mohawk Industries, Inc   2,976 
 19,825      Movado Group, Inc   501 
 242,267      Newell Rubbermaid, Inc   12,990 
 775,923      Nike, Inc (Class B)   45,779 
 14,720      Pandora AS   1,374 
 7,050      Phillips-Van Heusen Corp   807 
 2,210   e  Polaris Industries, Inc   204 
 2,000      Pool Corp   235 
 98,400      Sekisui House Ltd   1,739 
 403,700      Sony Corp   15,399 
 762,926      Taylor Wimpey plc   1,752 
 4,110   *  Tempur Sealy International, Inc   219 
 4,390      Tupperware Corp   308 
 2,750   *,e  Under Armour, Inc   56 
 5,167   *,e  Under Armour, Inc (Class A)   112 
 18,549   *  Unifi, Inc   571 
 20,181      VF Corp   1,162 
 4,340      Whirlpool Corp   832 
 396,000      Yue Yuen Industrial Holdings   1,642 
        TOTAL CONSUMER DURABLES & APPAREL   150,956 
              
CONSUMER SERVICES - 1.3%
 152,001      Accor S.A.   7,130 
 15,319   *  American Public Education, Inc   362 
 9,090      ARAMARK Holdings Corp   373 
 1,289      Bob Evans Farms, Inc   93 
 4,308      Brinker International, Inc   164 
 6,997   *  Caesars Acquisition Co   133 
 19,899      Carriage Services, Inc   537 
 44,909      Choice Hotels International, Inc   2,885 
 10,472      Darden Restaurants, Inc   947 
 16,118   e  DineEquity, Inc   710 
 6,884      Dunkin Brands Group, Inc   379 
 14,787   *,e  El Pollo Loco Holdings, Inc   205 
 2,000      Hilton Worldwide Holdings, Inc   124 
 29,678      ILG, Inc   816 
 147,317      InterContinental Hotels Group plc   8,181 
 19,063   *  Intrawest Resorts Holdings Inc   453 
 6,202      Marcus Corp   187 
 340,179      Marriott International, Inc (Class A)   34,123 
 391,684      McDonald’s Corp   59,990 
 1,107,346   g  Merlin Entertainments plc   6,932 
 100,400      Oriental Land Co Ltd   6,805 
 11,262      Royal Caribbean Cruises Ltd   1,230 
 7,090      Service Corp International   237 
 97,608   *  ServiceMaster Global Holdings, Inc   3,825 
 250,000      Shangri-La Asia Ltd   424 
 3,560      Six Flags Entertainment Corp   212 
 781,044      Starbucks Corp   45,543 
 14,512      Vail Resorts, Inc   2,943 
 12,240      Wendy’s   190 
370

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 150,515      Whitbread plc  $7,779 
 6,701      Wyndham Worldwide Corp   673 
        TOTAL CONSUMER SERVICES   194,585 
              
DIVERSIFIED FINANCIALS - 3.1%
 783,983      3i Group plc   9,218 
 755,296      Aberdeen Asset Management plc   2,974 
 90,800      AEON Financial Service Co Ltd   1,927 
 45,546      Ally Financial, Inc   952 
 528,376      American Express Co   44,510 
 5,017      Ameriprise Financial, Inc   639 
 1,444,992      AMP Ltd   5,766 
 1,171,358      Annaly Capital Management, Inc   14,115 
 62,354      Apollo Commercial Real Estate Finance, Inc   1,157 
 817,594      Bank of New York Mellon Corp   41,714 
 91,009      BlackRock, Inc   38,443 
 890,263      Charles Schwab Corp   38,246 
 11,810      Chimera Investment Corp   220 
 295,095      CME Group, Inc   36,958 
 103,613      Deutsche Boerse AG.   10,945 
 481,355      Discover Financial Services   29,935 
 60,890      Dynex Capital, Inc   432 
 4,490   *  E*TRADE Financial Corp   171 
 4,140      Eaton Vance Corp   196 
 12,537   *,e  Encore Capital Group, Inc   503 
 125,047      EXOR NV   6,785 
 7,914      Factset Research Systems, Inc   1,315 
 19,507      Franklin Resources, Inc   874 
 55,617   *  Green Dot Corp   2,143 
 495,051      Hong Kong Exchanges and Clearing Ltd   12,789 
 558,160      IntercontinentalExchange Group, Inc   36,794 
 10,236      Invesco Ltd   360 
 638,089      Investec plc   4,768 
 33,731      Investment Technology Group, Inc   716 
 2,480      Legg Mason, Inc   95 
 121,258      London Stock Exchange Group plc   5,768 
 5,410      LPL Financial Holdings, Inc   230 
 164,391      Macquarie Group Ltd   11,179 
 365,600      Mitsubishi UFJ Lease & Finance Co Ltd   2,006 
 910      Morningstar, Inc   71 
 867      NASDAQ OMX Group, Inc   62 
 12,048      NewStar Financial, Inc   126 
 127,081      Northern Trust Corp   12,354 
 63,687   *  On Deck Capital, Inc   297 
 9,469   *  Pico Holdings, Inc   166 
 1,210      Raymond James Financial, Inc   97 
 88,040      S&P Global, Inc   12,853 
 102,199      Schroders plc   4,132 
 6,827      SEI Investments Co   367 
 9,450      Starwood Property Trust, Inc   212 
 415,366      State Street Corp   37,271 
 733      T Rowe Price Group, Inc   54 
371

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 6,546      TD Ameritrade Holding Corp  $281 
 13,074      Voya Financial, Inc   482 
 23,058      Wendel   3,410 
        TOTAL DIVERSIFIED FINANCIALS   437,078 
              
ENERGY - 3.4%
 42,489      Alon USA Energy, Inc   566 
 112,058      AltaGas Income Trust   2,565 
 201,655   *  Antero Resources Corp   4,358 
 6,550   e  Apache Corp   314 
 82,467   *,e  Atwood Oceanics, Inc   672 
 256,759      Baker Hughes, Inc   13,996 
 45,237   e  Bristow Group, Inc   346 
 3,504      Caltex Australia Ltd   85 
 27,965   *,e  CARBO Ceramics, Inc   191 
 754,018      Cenovus Energy, Inc (Toronto)   5,559 
 218,866   *  Cheniere Energy, Inc   10,661 
 1,776      Cimarex Energy Co   167 
 126,771   *  Clean Energy Fuels Corp   322 
 796   *  Concho Resources, Inc   97 
 269,739      ConocoPhillips   11,858 
 42,887   *,e  Continental Resources, Inc   1,386 
 80,352      Delek US Holdings, Inc   2,124 
 12,864   *,e  Denbury Resources, Inc   20 
 284,522      Devon Energy Corp   9,096 
 3,010   *  Dril-Quip, Inc   147 
 20,051   e  Enagas   563 
 463,064      Enbridge, Inc   18,447 
 610,064      EnCana Corp   5,368 
 2,011   *  Energen Corp   99 
 342,613      EOG Resources, Inc   31,013 
 40,526      EQT Corp   2,374 
 42,054   *  Exterran Corp   1,123 
 51,062   *,e  Fairmount Santrol Holdings, Inc   199 
 1,520      Frank’s International NV   13 
 382,818      Galp Energia SGPS S.A.   5,801 
 47,174      Green Plains Renewable Energy, Inc   969 
 25,112      Hess Corp   1,102 
 482,586      Inpex Holdings, Inc   4,660 
 920,819      Kinder Morgan, Inc   17,643 
 57,666      Koninklijke Vopak NV   2,672 
 3,660   *  Laredo Petroleum Holdings, Inc   38 
 491,751      Marathon Oil Corp   5,827 
 393,673      Marathon Petroleum Corp   20,601 
 35,997   *  Matrix Service Co   337 
 315,075   *  McDermott International, Inc   2,259 
 405,683      National Oilwell Varco, Inc   13,363 
 16,599   *  Natural Gas Services Group, Inc   412 
 106,990      Neste Oil Oyj   4,222 
 107,917   *  Newpark Resources, Inc   793 
 222,073      Noble Energy, Inc   6,285 
 478,958      Occidental Petroleum Corp   28,675 
 6,080      Oceaneering International, Inc   139 
372

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 122,916      OMV AG.  $6,385 
 66,969   e  Oneok, Inc   3,493 
 162,692   *  Parker Drilling Co   220 
 2,120   e  PBF Energy, Inc   47 
 36,726   *  PDC Energy, Inc   1,583 
 292,883      Pembina Pipeline Income Fund   9,700 
 218,956      Petrofac Ltd   1,259 
 334,050      Phillips 66   27,623 
 21,522      Pioneer Natural Resources Co   3,434 
 5,210      Range Resources Corp   121 
 50,847   *  Renewable Energy Group, Inc   658 
 650,954      Repsol YPF S.A.   9,980 
 17,609   *  RigNet, Inc   283 
 169,774   *  Rowan Cos plc   1,738 
 1,480   e  RPC, Inc   30 
 580,653      Schlumberger Ltd   38,230 
 894   *  SEACOR Holdings, Inc   31 
 19,835      SM Energy Co   328 
 1,430,692      Snam Rete Gas S.p.A.   6,244 
 630,794     Statoil ASA   10,460 
 522,445      Suncor Energy, Inc   15,265 
 88,242   *  Superior Energy Services   920 
 271,990      Tenaris S.A.   4,247 
 37,026   *  Tesco Corp   165 
 13,513   b  Tesoro Corp   1,265 
 148,262   *  Tetra Technologies, Inc   414 
 527,137     Total S.A.   26,171 
 66,590   *  Unit Corp   1,247 
 520,986      Valero Energy Corp   35,146 
 1,181,151   *,e  Weatherford International Ltd   4,571 
 427,614      Williams Cos, Inc   12,948 
 255,028      Woodside Petroleum Ltd   5,850 
 4,350      World Fuel Services Corp   167 
        TOTAL ENERGY   469,750 
              
FOOD & STAPLES RETAILING - 0.6%
 179,300      Aeon Co Ltd   2,727 
 17,193      Alimentation Couche Tard, Inc   824 
 233,475   *  Carrefour S.A.   5,903 
 52,455   e  Casey’s General Stores, Inc   5,618 
 46,095      Casino Guichard Perrachon S.A.   2,730 
 26,041   *  Chefs’ Warehouse Holdings, Inc   338 
 12,016      Colruyt S.A.   633 
 612,987      J Sainsbury plc   2,011 
 69,935      Koninklijke Ahold Delhaize NV   1,335 
 20,898      Loblaw Cos Ltd   1,163 
 147,990   *  Metro AG.   4,999 
 13,070   *,e  Natural Grocers by Vitamin C   108 
 48,800   *  Performance Food Group Co   1,337 
 26,111      Pricesmart, Inc   2,287 
 165,300      Seven & I Holdings Co Ltd   6,821 
 30,182   *,e  Smart & Final Stores, Inc   275 
373

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 48,144      Spartan Stores, Inc  $1,250 
 184,517   *  Sprouts Farmers Market, Inc   4,183 
 4,438,693   *  Tesco plc   9,772 
 64,657   *  United Natural Foods, Inc   2,373 
 58,710   *  US Foods Holding Corp   1,598 
 12,906      Weis Markets, Inc   629 
 250,912      Wesfarmers Ltd   7,737 
 439,804      Whole Foods Market, Inc   18,520 
 459,754      WM Morrison Supermarkets plc   1,444 
        TOTAL FOOD & STAPLES RETAILING   86,615 
              
FOOD, BEVERAGE & TOBACCO - 2.8%
 414,000      Ajinomoto Co, Inc   8,952 
 254,603      Associated British Foods plc   9,743 
 37,326      Bunge Ltd   2,784 
 62,332      Campbell Soup Co   3,251 
 467,456      Coca-Cola Amatil Ltd   3,317 
 1,591,904      Coca-Cola Co   71,397 
 163,872      Coca-Cola European Partners plc   6,640 
 249,541      Coca-Cola HBC AG.   7,339 
 207,653      Dr Pepper Snapple Group, Inc   18,919 
 10,690   e  Flowers Foods, Inc   185 
 19,775   *  Freshpet, Inc   328 
 448,608      General Mills, Inc   24,853 
 200,243      Groupe Danone   15,030 
 5,050   *  Hain Celestial Group, Inc   196 
 267,274      Hormel Foods Corp   9,117 
 167,425      Kellogg Co   11,629 
 97,128      Kerry Group plc (Class A)   8,357 
 121,200      Kikkoman Corp   3,877 
 429,134      Kraft Heinz Co   36,751 
 848      Lindt & Spruengli AG.   4,917 
 85      Lindt & Spruengli AG. (Registered)   5,927 
 10,151      McCormick & Co, Inc   990 
 972,857      Mondelez International, Inc   42,018 
 47,900      Nissin Food Products Co Ltd   2,995 
 29,443      Omega Protein Corp   527 
 455,798      Orkla ASA   4,633 
 53,130      PAN Fish ASA   909 
 599,192      PepsiCo, Inc   69,201 
 8,356   *  Seneca Foods Corp   259 
 153,200      Suntory Beverage & Food Ltd   7,121 
 577,075      Tate & Lyle plc   4,973 
 72,400      Yakult Honsha Co Ltd   4,935 
        TOTAL FOOD, BEVERAGE & TOBACCO   392,070 
              
HEALTH CARE EQUIPMENT & SERVICES - 2.4%
 13,468      Abaxis, Inc   714 
 1,970   *  Abiomed, Inc   282 
 74,297   *,e  Acadia Healthcare Co, Inc   3,669 
 39,666   *  Accuray, Inc   188 
 13,529      Aceto Corp   209 
374

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 118,854   *  Alere, Inc  $5,965 
 18,400      Alfresa Holdings Corp   356 
 9,363   *  Align Technology, Inc   1,406 
 91,016   *  Allscripts Healthcare Solutions, Inc   1,161 
 36,444   *  Amedisys, Inc   2,289 
 225,011      AmerisourceBergen Corp   21,270 
 40,869   *  AMN Healthcare Services, Inc   1,596 
 12,558      Analogic Corp   912 
 35,222   *  Angiodynamics, Inc   571 
 210,167      Anthem, Inc   39,539 
 52,066   *,e  athenahealth, Inc   7,318 
 32,319   *  AtriCure, Inc   784 
 199,252      Becton Dickinson & Co   38,876 
 41,628   *  Brookdale Senior Living, Inc   612 
 37,871   *  Capital Senior Living Corp   576 
 363,931      Cardinal Health, Inc   28,358 
 25,145   *  Cardiovascular Systems, Inc   810 
 140,579   *  Centene Corp   11,229 
 39,790   *,e  Cerus Corp   100 
 188,635      Cigna Corp   31,576 
 85,419      Coloplast AS   7,140 
 14,582   e  Computer Programs & Systems, Inc   478 
 4,570   *  Corvel Corp   217 
 25,039   *  Cross Country Healthcare, Inc   323 
 8,556      Dentsply Sirona, Inc   555 
 49,980   *  Diplomat Pharmacy, Inc   740 
 266,004   *  Edwards Lifesciences Corp   31,452 
 105,895   *,e  Endologix, Inc   515 
 144,368   *  Envision Healthcare Corp   9,048 
 91,010      Essilor International S.A.   11,578 
 52,788   *  GenMark Diagnostics, Inc   624 
 4,374   *  Haemonetics Corp   173 
 4,069   *  HCA Holdings, Inc   355 
 1,416,269      Healthscope Ltd   2,407 
 9,462   *  HealthStream, Inc   249 
 24,898   *  Henry Schein, Inc   4,557 
 10,561   *  HMS Holdings Corp   195 
 96,706   *  Hologic, Inc   4,389 
 53,134      Humana, Inc   12,785 
 1,357   *  Idexx Laboratories, Inc   219 
 39,783   *  Integer Holding Corp   1,721 
 109,824      Kindred Healthcare, Inc   1,279 
 8,310   *  Laboratory Corp of America Holdings   1,281 
 12,858      Landauer, Inc   672 
 19,312   *  LHC Group, Inc   1,311 
 49,348   *  LifePoint Hospitals, Inc   3,314 
 683,522   e  Mediclinic International plc   6,612 
 1,474   *  Medidata Solutions, Inc   115 
 2,230   *  MEDNAX, Inc   135 
 35,601   *  Merit Medical Systems, Inc   1,358 
 41,964   *  NxStage Medical, Inc   1,052 
 46,381   *  Omnicell, Inc   1,999 
375

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 70,523   *  OraSure Technologies, Inc  $1,217 
 2,718      Owens & Minor, Inc   87 
 87,508   e  Patterson Cos, Inc   4,109 
 38,489   *  PharMerica Corp   1,010 
 2,830   *  Premier, Inc   102 
 15,337   *  Providence Service Corp   776 
 42,933   *  Quality Systems, Inc   739 
 12,391      Quest Diagnostics, Inc   1,377 
 23,328   *  Quidel Corp   633 
 115,938      Ramsay Health Care Ltd   6,560 
 4,542      Resmed, Inc   354 
 302,847      Ryman Healthcare Ltd   1,840 
 75,106   *  Select Medical Holdings Corp   1,153 
 28,515   *  Spectranetics Corp   1,095 
 42,474   *,e  Staar Surgical Co   459 
 10,800      Suzuken Co Ltd   360 
 96,000      Sysmex Corp   5,746 
 31,845   *,e  Teladoc, Inc   1,105 
 19,606   *  Tivity Health, Inc   781 
 5,928   *  Triple-S Management Corp (Class B)   100 
 16,067      US Physical Therapy, Inc   970 
 5,250   *  Varian Medical Systems, Inc   542 
 4,127   *  VCA Antech, Inc   381 
 32,132   *  Vocera Communications, Inc   849 
 3,560      West Pharmaceutical Services, Inc   336 
        TOTAL HEALTH CARE EQUIPMENT & SERVICES   341,895 
              
HOUSEHOLD & PERSONAL PRODUCTS - 1.5%
 3,160      Clorox Co   421 
 255,818      Colgate-Palmolive Co   18,964 
 1,620      Energizer Holdings, Inc   78 
 5,829      Estee Lauder Cos (Class A)   559 
 40,066      Henkel KGaA   4,853 
 59,767      Henkel KGaA (Preference)   8,242 
 180,451      Kimberly-Clark Corp   23,298 
 51,572      L’Oreal S.A.   10,754 
 1,113      Medifast, Inc   46 
 10,538      Natural Health Trends Corp   293 
 4,530      Nu Skin Enterprises, Inc (Class A)   285 
 948,089      Procter & Gamble Co   82,626 
 183,078      Reckitt Benckiser Group plc   18,559 
 283,647      Unilever NV   15,658 
 351,611      Unilever plc   19,028 
        TOTAL HOUSEHOLD & PERSONAL PRODUCTS   203,664 
              
INSURANCE - 2.9%
 1,414,813      Aegon NV   7,241 
 425,702      Aflac, Inc   33,069 
 115,936      Allianz AG.   22,879 
 5,510      Allied World Assurance Co Holdings Ltd   291 
 21,500      Allstate Corp   1,901 
 195,940      American International Group, Inc   12,250 
376

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 14,820      Aon plc  $1,970 
 4,310   *  Arch Capital Group Ltd   402 
 6,590      Arthur J. Gallagher & Co   377 
 78,412      Aspen Insurance Holdings Ltd   3,909 
 485,960      Assicurazioni Generali S.p.A.   8,021 
 3,580      Assurant, Inc   371 
 1,774,308      Aviva plc   12,171 
 608,986      AXA S.A.   16,676 
 74,779      Axis Capital Holdings Ltd   4,835 
 296,176      Chubb Ltd   43,058 
 140,333      CNP Assurances   3,150 
 11,216      Employers Holdings, Inc   474 
 1,310      First American Financial Corp   59 
 281,297      Hartford Financial Services Group, Inc   14,788 
 3,249,032      Legal & General Group plc   10,933 
 10,590      Loews Corp   496 
 445,968      Marsh & McLennan Cos, Inc   34,768 
 64,934      Muenchener Rueckver AG.   13,140 
 109,100      NKSJ Holdings, Inc   4,235 
 3,860,252      Old Mutual plc   9,739 
 13,239      Principal Financial Group   848 
 212,157      Progressive Corp   9,354 
 351,855      Prudential Financial, Inc   38,050 
 768,276      Prudential plc   17,635 
 9,028      Reinsurance Group of America, Inc (Class A)   1,159 
 42,804      RenaissanceRe Holdings Ltd   5,952 
 209,543      RSA Insurance Group plc   1,681 
 524,292      Standard Life plc   2,726 
 20,374      Stewart Information Services Corp   925 
 137,297      Swiss Re Ltd   12,582 
 89,400      T&D Holdings, Inc   1,367 
 294,002      Travelers Cos, Inc   37,200 
 1,467   e  Willis Towers Watson plc   213 
 50,993      Zurich Financial Services AG.   14,882 
        TOTAL INSURANCE   405,777 
              
MATERIALS - 3.1%
 109,267      Agnico-Eagle Mines Ltd   4,927 
 45,381   e  Agrium, Inc   4,113 
 125,750      Air Liquide   15,542 
 153,248      Air Products & Chemicals, Inc   21,924 
 63,469      Akzo Nobel NV   5,520 
 563      Albemarle Corp   59 
 3,090      Aptargroup, Inc   268 
 162,000      Asahi Kasei Corp   1,748 
 46,422      Avery Dennison Corp   4,102 
 12,360   *  Axalta Coating Systems Ltd   396 
 129,090      Ball Corp   5,449 
 234,297      BASF SE   21,745 
 5,860      Bemis Co, Inc   271 
 354,875      BlueScope Steel Ltd   3,593 
 228,276      Boliden AB   6,240 
377

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 7,263      Celanese Corp (Series A)  $690 
 2,372   *  Clearwater Paper Corp   111 
 125,429      Commercial Metals Co   2,437 
 2,080   e  Compass Minerals International, Inc   136 
 61,457      CRH plc   2,178 
 38,958      Croda International plc   1,973 
 3,930      Domtar Corp   151 
 5,941      DSM NV   432 
 41,099      Eastman Chemical Co   3,452 
 274,326      Ecolab, Inc   36,417 
 104,881      Evonik Industries AG.   3,357 
 5,690   *  Ferro Corp   104 
 121,063      Fletcher Building Ltd   709 
 72,672   *,e  Flotek Industries, Inc   650 
 60,932      Franco-Nevada Corp   4,397 
 5,005      Givaudan S.A.   10,029 
 3,382      Hawkins, Inc   157 
 104,407      HeidelbergCement AG.   10,121 
 340,300      Hitachi Metals Ltd   4,748 
 202,950      Holcim Ltd   11,664 
 19,635      Innophos Holdings, Inc   861 
 3,960      International Flavors & Fragrances, Inc   535 
 201,040      International Paper Co   11,381 
 157,971      Johnson Matthey plc   5,912 
 193,461   *  Kinross Gold Corp   786 
 256,700   *  Kobe Steel Ltd   2,647 
 39,288   *  Kraton Polymers LLC   1,353 
 59,233   *  Louisiana-Pacific Corp   1,428 
 256,430      LyondellBasell Industries AF S.C.A   21,640 
 26,494      Materion Corp   991 
 36,779      Minerals Technologies, Inc   2,692 
 177,199      Mitsubishi Materials Corp   5,377 
 761,960      Mitsui Chemicals, Inc   4,058 
 77,471      Mondi plc   2,031 
 106,954      Mosaic Co   2,442 
 5,405      Myers Industries, Inc   97 
 375,847      Newcrest Mining Ltd   5,833 
 28,700      Nitto Denko Corp   2,370 
 1,122,396      Norsk Hydro ASA   6,211 
 411,382      Nucor Corp   23,807 
 413,813      Potash Corp of Saskatchewan   6,749 
 13,329      PPG Industries, Inc   1,466 
 261,274      Praxair, Inc   34,632 
 14,003      Reliance Steel & Aluminum Co   1,020 
 85,362      Royal Gold, Inc   6,673 
 35,137      Schnitzer Steel Industries, Inc (Class A)   885 
 1,660      Scotts Miracle-Gro Co (Class A)   148 
 17,667      Sealed Air Corp   791 
 51,825      Sherwin-Williams Co   18,188 
 148,900      Shin-Etsu Chemical Co Ltd   13,552 
 594      Sika AG.   3,814 
 6,170      Sonoco Products Co   317 
 4,441,553      South32 Ltd   9,147 
378

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 86,932      Stora Enso Oyj (R Shares)  $1,123 
 1,297,000      Sumitomo Chemical Co Ltd   7,496 
 412,000      Sumitomo Metal Mining Co Ltd   5,507 
 75,666   *  Summit Materials, Inc   2,184 
 473,845      Teck Cominco Ltd   8,214 
 9,000      Toray Industries, Inc   75 
 35,484      Trinseo S.A.   2,438 
 77,066      Umicore   5,361 
 163,079      UPM-Kymmene Oyj   4,650 
 19,003   *,e  US Concrete, Inc   1,493 
 170,622      WestRock Co   9,667 
 58,714   *  Worthington Industries, Inc   2,949 
        TOTAL MATERIALS   440,801 
              
MEDIA - 1.7%
 180      Cable One, Inc   128 
 125,569   *  Charter Communications, Inc   42,298 
 1,299      Cinemark Holdings, Inc   50 
 100,869      Clear Channel Outdoor Holdings, Inc (Class A)   489 
 49,500      Dentsu, Inc   2,375 
 210,586   *,e  Discovery Communications, Inc (Class A)   5,439 
 298,544   *  Discovery Communications, Inc (Class C)   7,526 
 33,882   e  Entercom Communications Corp (Class A)   351 
 84,634      Entravision Communications Corp (Class A)   559 
 85,122   *  Gray Television, Inc   1,166 
 526,783      ITV plc   1,247 
 12,369      John Wiley & Sons, Inc (Class A)   652 
 4,448   *  Liberty Global plc   139 
 2,960   *  Liberty Global plc (Class A)   95 
 162,213      New York Times Co (Class A)   2,871 
 475,703      Pearson plc   4,283 
 140,506      ProSiebenSat. Media AG.   5,894 
 3,689      Reed Elsevier NV   76 
 531,330      Reed Elsevier plc   11,486 
 5,020   e  Regal Entertainment Group (Class A)   103 
 1,550      Scholastic Corp   68 
 36,026      Scripps Networks Interactive (Class A)   2,461 
 82,171     Shaw Communications, Inc (B Shares)   1,793 
 57,685      Sinclair Broadcast Group, Inc (Class A)   1,898 
 616,899      Sky plc   7,989 
 477,575      Time Warner, Inc   47,953 
 212,730      Vivendi Universal S.A.   4,737 
 626,748      Walt Disney Co   66,592 
 553,504      WPP plc   11,655 
        TOTAL MEDIA   232,373 
              
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES - 5.1%
 220,679      Agilent Technologies, Inc   13,089 
 70,341   *  Akorn, Inc   2,359 
 346,676      Amgen, Inc   59,708 
 933,014      Astellas Pharma, Inc   11,436 
379

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 33,385   *,e  Bellicum Pharmaceuticals, Inc  $390 
 104,271   *,e  BioCryst Pharmaceuticals, Inc   580 
 103,107   *  Biogen Idec, Inc   27,979 
 2,804   *  BioMarin Pharmaceutical, Inc   255 
 1,820      Bio-Techne Corp   214 
 6,417   *  Bluebird Bio, Inc   674 
 934,896      Bristol-Myers Squibb Co   52,092 
 5,210      Bruker BioSciences Corp   150 
 397,317   *  Celgene Corp   51,600 
 59,178   *  Cempra, Inc   272 
 54,091   *  Chimerix, Inc   295 
 184,697      Chugai Pharmaceutical Co Ltd   6,920 
 81,033   *  Depomed, Inc   870 
 57,100      Eisai Co Ltd   3,159 
 40,630   *  Genmab AS   8,663 
 686,204      Gilead Sciences, Inc   48,569 
 1,167,125      GlaxoSmithKline plc   24,845 
 7,414   *,e  Immunomedics, Inc   65 
 34,337   *  Intersect ENT, Inc   960 
 18,409   *,e  Intra-Cellular Therapies, Inc   229 
 37,309   *,e  Iovance Biotherapeutics, Inc   274 
 848,433      Johnson & Johnson   112,239 
 127,000      Kyowa Hakko Kogyo Co Ltd   2,362 
 47,706      Lonza Group AG.   10,334 
 1,119,109      Merck & Co, Inc   71,724 
 84,518      Merck KGaA   10,227 
 1,399   *  Mettler-Toledo International, Inc   823 
 133,537   *,e  MiMedx Group, Inc   1,999 
 162,598   *  Nektar Therapeutics   3,179 
 465,203      Novartis AG.   38,857 
 476,585      Novo Nordisk AS   20,478 
 35,019   *,e  Opko Health, Inc   230 
 37,508   *,e  Organovo Holdings, Inc   99 
 71,459      Orion Oyj (Class B)   4,565 
 8,147      PerkinElmer, Inc   555 
 46,519   *  Prestige Brands Holdings, Inc   2,457 
 90,934   *,e  Progenics Pharmaceuticals, Inc   617 
 178,670   *  QIAGEN NV   5,945 
 101,619   *  Quintiles Transnational Holdings, Inc   9,095 
 567   *  Repligen Corp   24 
 145,007      Roche Holding AG.   37,051 
 13,219   *,e  Sangamo Biosciences, Inc   116 
 99,000      Shionogi & Co Ltd   5,520 
 31,531   *,e  Sucampo Pharmaceuticals, Inc (Class A)   331 
 259,985      Takeda Pharmaceutical Co Ltd   13,199 
 16,323   *,e  TESARO, Inc   2,283 
 24,808   *,e  Theravance Biopharma, Inc   988 
 103,649   *  Vertex Pharmaceuticals, Inc   13,357 
 6,410   *  VWR Corp   212 
 4,055   *  Waters Corp   745 
 559,747      Zoetis, Inc   34,917 
        TOTAL PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES   720,175 
380

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
REAL ESTATE - 2.3%
 15,548   *,e  Altisource Portfolio Solutions S.A.  $339 
 103,765      American Campus Communities, Inc   4,908 
 303,050      American Tower Corp   40,100 
 4,180      Apple Hospitality REIT, Inc   78 
 118,049      Boston Properties, Inc   14,522 
 4,380      Brandywine Realty Trust   77 
 805,154      British Land Co plc   6,356 
 203,775      Brixmor Property Group, Inc   3,644 
 2,116,749      CapitaLand Ltd   5,379 
 22,331      CatchMark Timber Trust Inc   254 
 161,988   *  CBRE Group, Inc   5,896 
 245,900      City Developments Ltd   1,915 
 82,891      Columbia Property Trust, Inc   1,855 
 35,170      Coresite Realty   3,641 
 327,700      Daiwa House Industry Co Ltd   11,216 
 160,987      Duke Realty Corp   4,500 
 42,336   e  Easterly Government Properties, Inc   887 
 58,981      Equinix, Inc   25,312 
 6,190   *  Equity Commonwealth   196 
 78,079      First Potomac Realty Trust   867 
 177,690      Forest City Realty Trust, Inc   4,295 
 590,981      Hammerson plc   4,422 
 661,000      Hang Lung Properties Ltd   1,652 
 313,953      HCP, Inc   10,034 
 724,900      Henderson Land Development Co Ltd   4,042 
 361,129      Host Marriott Corp   6,598 
 17,237   *  Howard Hughes Corp   2,117 
 94,670      Hysan Development Co Ltd   452 
 945      Iron Mountain, Inc   33 
 40,680   *,e  iStar Financial, Inc   490 
 490      Jones Lang LaSalle, Inc   61 
 528,015      Land Securities Group plc   6,971 
 90,335      Lend Lease Corp Ltd   1,156 
 3,720      Liberty Property Trust   151 
 61,621      Macerich Co   3,578 
 587,400      Mitsubishi Estate Co Ltd   10,980 
 461,710      Mitsui Fudosan Co Ltd   11,062 
 17     Nippon ProLogis REIT, Inc   36 
 59,300      Nomura Real Estate Holdings, Inc   1,167 
 71,768      NorthStar Realty Europe Corp   910 
 108,203      Paramount Group, Inc   1,731 
 22,842      Parkway, Inc   523 
 7,340      Piedmont Office Realty Trust, Inc   155 
 400,776      Prologis, Inc   23,502 
 36,640      QTS Realty Trust, Inc   1,917 
 6,220      Rayonier, Inc   179 
 3,556      RMR Group, Inc   173 
 157      Ryman Hospitality Properties   10 
 98,745   *  SBA Communications Corp   13,321 
 284,290      Scentre Group   884 
 310,801      Segro plc   1,981 
381

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 46,895      Senior Housing Properties Trust  $959 
 150,700      Shoei Co Ltd   1,543 
 416,000      Swire Pacific Ltd (Class A)   4,061 
 974,400      Swire Properties Ltd   3,212 
 2,845   *  Tejon Ranch Co   59 
 62,244      Tier REIT, Inc   1,150 
 12,000      Tokyu Fudosan Holdings Corp   71 
 349,861      UDR, Inc   13,634 
 40,112      Unibail-Rodamco   10,107 
 113,975      Vornado Realty Trust   10,702 
 426,686      Welltower, Inc   31,937 
 1,409      Weyerhaeuser Co   47 
        TOTAL REAL ESTATE   324,007 
              
RETAILING - 2.1%
 36,131   *  1-800-FLOWERS.COM, Inc (Class A)   352 
 4,585      Advance Auto Parts, Inc   535 
 5,680   *,e  Autonation, Inc   239 
 145,797      Best Buy Co, Inc   8,359 
 23,566   e  Big 5 Sporting Goods Corp   308 
 67,593   *  Cabela’s, Inc   4,016 
 26,039      Caleres, Inc   723 
 86,068   *  Carmax, Inc   5,427 
 3,200      Dick’s Sporting Goods, Inc   127 
 378,390      Dollar General Corp   27,278 
 139,374   *,e  Etsy, Inc   2,091 
 23,000      Fast Retailing Co Ltd   7,692 
 11,800      Foot Locker, Inc   582 
 23,607   *  FTD Cos, Inc   472 
 187,286      Gap, Inc   4,118 
 27,089      Group 1 Automotive, Inc   1,715 
 500,551   *,e  Groupon, Inc   1,922 
 25,226      Haverty Furniture Cos, Inc   633 
 186,825      Hennes & Mauritz AB (B Shares)   4,658 
 40,709      HSN, Inc   1,299 
 370,513      Industria De Diseno Textil S.A.   14,230 
 82,400      Jardine Cycle & Carriage Ltd   2,653 
 35,008      Kering   11,921 
 22,653      Kingfisher plc   89 
 20,812   *  Kirkland’s, Inc   214 
 238,332   e  Kohl’s Corp   9,216 
 19,780   *,e  Lands’ End, Inc   295 
 4,807,620      Li & Fung Ltd   1,749 
 24,483   *  LKQ Corp   807 
 550,859      Lowe’s Companies, Inc   42,708 
 30,764   *  MarineMax, Inc   601 
 342,665      Marks & Spencer Group plc   1,487 
 2,400      Marui Co Ltd   35 
 274,254   *  NetFlix, Inc   40,976 
 31,269      Next plc   1,570 
 8,701   e  Nordstrom, Inc   416 
 37,956      Nutri/System, Inc   1,976 
 675,153      Office Depot, Inc   3,808 
382

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 17,187   *  Overstock.com, Inc  $280 
 26,265   e  PetMed Express, Inc   1,066 
 25,727   *  Priceline.com, Inc   48,123 
 310,579      Ross Stores, Inc   17,930 
 12,780   *  Sally Beauty Holdings, Inc   259 
 17,543      Shoe Carnival, Inc   366 
 45,030   *  Shutterfly, Inc   2,139 
 4,914   e  Signet Jewelers Ltd   311 
 39,919      Staples, Inc   402 
 7,520      Tiffany & Co   706 
 15,696      Tile Shop Holdings, Inc   324 
 4,198      Tractor Supply Co   228 
 62,150   *  Ulta Beauty, Inc   17,858 
 31,545   *  Vitamin Shoppe, Inc   368 
 41,113   *  Wayfair, Inc   3,161 
 5,490   e  Williams-Sonoma, Inc   266 
        TOTAL RETAILING   301,084 
              
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT - 1.6%
 5,058      Analog Devices, Inc   394 
 868,247      Applied Materials, Inc   35,867 
 117,576      ASML Holding NV   15,326 
 14,878   *  Cirrus Logic, Inc   933 
 1,867,342      Intel Corp   63,004 
 26,471      Lam Research Corp   3,744 
 30,220      Marvell Technology Group Ltd   499 
 4,036      Microchip Technology, Inc   312 
 306,879      NVIDIA Corp   44,363 
 66,208   *  ON Semiconductor Corp   930 
 128,446      Skyworks Solutions, Inc   12,324 
 512,237      Texas Instruments, Inc   39,406 
 59,500      Tokyo Electron Ltd   8,044 
        TOTAL SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT   225,146 
              
SOFTWARE & SERVICES - 5.8%
 372,887      Accenture plc   46,119 
 46,096   *  Actua Corp   648 
 80,187   *  Alphabet, Inc (Class A)   74,548 
 85,069   *  Alphabet, Inc (Class C)   77,305 
 70,115      Amadeus IT Holding S.A.   4,191 
 53,511   *,e  Angie’s List, Inc   684 
 6,607   *  Ansys, Inc   804 
 31,783   *  Autodesk, Inc   3,204 
 353,872      Automatic Data Processing, Inc   36,258 
 16,271   *,e  Black Knight Financial Services, Inc   666 
 27,736      Blackbaud, Inc   2,378 
 7,030      Booz Allen Hamilton Holding Co   229 
 28,157   *  Brightcove, Inc   175 
 26,494      CA, Inc   913 
 83,357      Cap Gemini S.A.   8,611 
 126,574   *  CGI Group, Inc   6,467 
383

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 32,707   *  Cimpress NV  $3,092 
 9,135   *  Citrix Systems, Inc   727 
 552,159      Cognizant Technology Solutions Corp (Class A)   36,663 
 19,152      Convergys Corp   455 
 28,146      CSG Systems International, Inc   1,142 
 2,810      CSRA, Inc   89 
 5,302   *  Dell Technologies, Inc-VMware Inc   324 
 2,480      DST Systems, Inc   153 
 41,722   *  Ellie Mae, Inc   4,586 
 15,455   *  Euronet Worldwide, Inc   1,350 
 1,924      Forrester Research, Inc   75 
 1,018,000      Fujitsu Ltd   7,529 
 39,817   *,e  Gogo, Inc   459 
 398,003      International Business Machines Corp   61,225 
 174,977      Intuit, Inc   23,239 
 61,376      j2 Global, Inc   5,222 
 67,844      LogMeIn, Inc   7,090 
 5,382   *  Manhattan Associates, Inc   259 
 468,238      MasterCard, Inc (Class A)   56,867 
 2,038,702      Microsoft Corp   140,528 
 18,817   *  MINDBODY, Inc   512 
 70,455   *  NeuStar, Inc (Class A)   2,350 
 29,149   *  New Relic, Inc   1,254 
 93,650      Open Text Corp   2,956 
 1,243,339      Oracle Corp   62,341 
 46,809   *  Perficient, Inc   873 
 5,650   *  PTC, Inc   311 
 36,105   *  Qualys, Inc   1,473 
 83,541   *,e  Quotient Technology, Inc   961 
 76,390   *  RingCentral, Inc   2,792 
 466,408   *  salesforce.com, Inc   40,391 
 235,459      SAP AG.   24,646 
 194,307   *  ServiceSource International LLC   754 
 21,993   *  SPS Commerce, Inc   1,402 
 68,035   *  Square, Inc   1,596 
 21,303   *  Sykes Enterprises, Inc   714 
 862,529      Symantec Corp   24,366 
 12,352   e  Syntel, Inc   209 
 29,779   *,e  Teradata Corp   878 
 7,887      TiVo Corp   147 
 25,682   *,e  Twilio, Inc   748 
 25,962   *,e  Ultimate Software Group, Inc   5,454 
 36,283   *  Vasco Data Security International   521 
 56,362   *  Website Pros, Inc   1,426 
 46,010      Western Union Co   877 
 970   *  WEX, Inc   101 
 157,289   *  Workday, Inc   15,257 
 23,822   *  Xactly Corp   373 
        TOTAL SOFTWARE & SERVICES   809,957 
              
TECHNOLOGY HARDWARE & EQUIPMENT - 2.0%
 37,861   *  Anixter International, Inc   2,961 
 25,108      Badger Meter, Inc   1,001 
384

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 4,043      Belden CDT, Inc  $305 
 64,501   *  Benchmark Electronics, Inc   2,083 
 54,538   *  Calix, Inc   374 
 1,979,847      Cisco Systems, Inc   61,969 
 110,896      Cognex Corp   9,415 
 31,515   *  Coherent, Inc   7,091 
 22,719      Comtech Telecommunications Corp   431 
 527,947      Corning, Inc   15,865 
 52,466   *  Cray, Inc   965 
 27,237      CTS Corp   588 
 39,009      Daktronics, Inc   376 
 69,090      Dolby Laboratories, Inc (Class A)   3,383 
 791,906      Ericsson (LM) (B Shares)   5,694 
 45,437   *,e  Fabrinet   1,938 
 21,653   *  FARO Technologies, Inc   819 
 94,427   *  Finisar Corp   2,453 
 8,777   *  Flextronics International Ltd   143 
 157,700      Fujifilm Holdings Corp   5,686 
 1,032,298      Hewlett Packard Enterprise Co   17,126 
 1,848,358      HP, Inc   32,309 
 11,132   *  Insight Enterprises, Inc   445 
 23,462   *  IPG Photonics Corp   3,404 
 17,745   *  Itron, Inc   1,202 
 252,022      Jabil Circuit, Inc   7,357 
 33,100      Keyence Corp   14,572 
 10,620   *  Keysight Technologies, Inc   413 
 36,666   *  Kimball Electronics, Inc   662 
 238,300      Konica Minolta Holdings, Inc   1,988 
 148,000      Kyocera Corp   8,602 
 37,090      Methode Electronics, Inc   1,528 
 200,190      Motorola, Inc   17,364 
 3,868      MTS Systems Corp   200 
 85,100      Murata Manufacturing Co Ltd   12,992 
 2,520      National Instruments Corp   101 
 916,819      NEC Corp   2,437 
 14,425   *  Netgear, Inc   622 
 13,605   *  Novanta, Inc   490 
 58,800      Omron Corp   2,560 
 7,653   *  OSI Systems, Inc   575 
 14,729   *  Plexus Corp   774 
 23,545   *  Rogers Corp   2,557 
 22,741   *  Sanmina Corp   866 
 33,341   *  Scansource, Inc   1,344 
 64,222   *  Sonus Networks, Inc   478 
 51,310   *  Super Micro Computer, Inc   1,265 
 1,417      SYNNEX Corp   170 
 39,200      TDK Corp   2,591 
 5,247      TE Connectivity Ltd   413 
 45,618   *  Tech Data Corp   4,607 
 36,773   *  Trimble Navigation Ltd   1,312 
 94,294   *  TTM Technologies, Inc   1,637 
 54,064      Universal Display Corp   5,907 
385

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 354,275      Xerox Corp  $10,178 
        TOTAL TECHNOLOGY HARDWARE & EQUIPMENT   284,588 
              
TELECOMMUNICATION SERVICES - 1.6%
 47,941   *  Boingo Wireless, Inc   717 
 3,333,039      BT Group plc   12,816 
 733,368   e  CenturyLink, Inc   17,513 
 55,858   *  Cincinnati Bell, Inc   1,092 
 2,650   e  Consolidated Communications Holdings, Inc   57 
 3,261   *  Fairpoint Communications, Inc   51 
 748,688   e  France Telecom S.A.   11,915 
 35,024   *  General Communication, Inc (Class A)   1,283 
 23,363      IDT Corp (Class B)   336 
 109,486   *,e  Iridium Communications, Inc   1,210 
 574,432      KDDI Corp   15,192 
 172,716   *  Level 3 Communications, Inc   10,242 
 23,855   *  Lumos Networks Corp   426 
 537,000      NTT DoCoMo, Inc   12,701 
 179,616      Rogers Communications, Inc (Class B)   8,484 
 25,635      Shenandoah Telecom Co   787 
 4,119,200      Singapore Telecommunications Ltd   11,633 
 1,033,380   *  Sprint Corp   8,484 
 19,751      Swisscom AG.   9,546 
 143,396      TeliaSonera AB   661 
 1,532,046      Telstra Corp Ltd   5,062 
 12,857      TELUS Corp   444 
 1,561,832      Verizon Communications, Inc   69,751 
 7,029,044      Vodafone Group plc   19,962 
        TOTAL TELECOMMUNICATION SERVICES   220,365 
              
TRANSPORTATION - 1.7%
 5,192      Aeroports de Paris   837 
 93,000      All Nippon Airways Co Ltd   324 
 80      Amerco, Inc   29 
 12,475      Arkansas Best Corp   257 
 306,566      Auckland International Airport Ltd   1,602 
 95,565   *,e  Avis Budget Group, Inc   2,606 
 221,330      Canadian National Railway Co   17,958 
 62,700      Central Japan Railway Co   10,240 
 5,220      CH Robinson Worldwide, Inc   359 
 229,394      CSX Corp   12,516 
 145,321      Delta Air Lines, Inc   7,810 
 370,933      Deutsche Post AG.   13,924 
 132,300      East Japan Railway Co   12,674 
 20,721   *  Echo Global Logistics, Inc   412 
 11,295      Expeditors International of Washington, Inc   638 
 33,952      Fraport AG. Frankfurt Airport Services Worldwide   3,005 
 320   *  Genesee & Wyoming, Inc (Class A)   22 
 96,776   *,e  Hertz Global Holdings, Inc   1,113 
 4,347      Kansas City Southern Industries, Inc   455 
 723      Kuehne & Nagel International AG.   121 
 2,620      Landstar System, Inc   224 
386

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 654,000     Mitsui OSK Lines Ltd  $1,931 
 1,232,302      MTR Corp   6,935 
 230,787   *  Nippon Yusen Kabushiki Kaisha   431 
 26,580      Norfolk Southern Corp   3,235 
 1,960      Ryder System, Inc   141 
 591,829      Southwest Airlines Co   36,776 
 2,560   *  Spirit Airlines, Inc   132 
 14,066      Sydney Airport   77 
 197,000      Tokyu Corp   1,505 
 612,270      Transurban Group (ASE)   5,576 
 439,785      Union Pacific Corp   47,897 
 371,822      United Parcel Service, Inc (Class B)   41,120 
 200      West Japan Railway Co   14 
 23,313   *  YRC Worldwide, Inc   259 
        TOTAL TRANSPORTATION   233,155 
              
UTILITIES - 2.0%
 24,930      AES Corp   277 
 82,327      AGL Energy Ltd   1,613 
 8,540      Alliant Energy Corp   343 
 42,012      American Water Works Co, Inc   3,275 
 528,314      APA Group   3,723 
 30,410      Atco Ltd   1,189 
 46,554      Canadian Utilities Ltd   1,496 
 305,189      Centerpoint Energy, Inc   8,356 
 970,500      CLP Holdings Ltd   10,263 
 11,161      CMS Energy Corp   516 
 370,665      Consolidated Edison, Inc   29,957 
 270,264      Dominion Resources, Inc   20,710 
 77,661      Edison International   6,072 
 10,425      Energias de Portugal S.A.   34 
 328,378      Eversource Energy   19,936 
 106,759      Fortis, Inc   3,752 
 59,506   e  Gas Natural SDG S.A.   1,393 
 5,269,589      Hong Kong & China Gas Ltd   9,911 
 1,916,173      Iberdrola S.A.   15,185 
 4,940      MDU Resources Group, Inc   130 
 19,652   *  Meridian Energy Ltd   42 
 1,138,726      National Grid plc   14,109 
 20,290      NiSource, Inc   515 
 100,000      Osaka Gas Co Ltd   410 
 4,160      Pinnacle West Capital Corp   354 
 272,468      Public Service Enterprise Group, Inc   11,719 
 557,219      Scottish & Southern Energy plc   10,543 
 244,506      Sempra Energy   27,568 
 35,973      South Jersey Industries, Inc   1,229 
 565,207      Southern Co   27,062 
 303,357      Suez Environnement S.A.   5,617 
 32,615      Terna Rete Elettrica Nazionale S.p.A.   176 
 964,790      Tokyo Gas Co Ltd   5,025 
 562,586      United Utilities Group plc   6,359 
 1,020      Vectren Corp   60 
387

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

SHARES      COMPANY  VALUE
(000)
 
 229,184     WEC Energy Group, Inc  $14,067 
 2,969      WGL Holdings, Inc   248 
 271,904      Xcel Energy, Inc   12,475 
        TOTAL UTILITIES   275,709 
        TOTAL COMMON STOCKS   8,347,753 
        (Cost $6,222,290)     
              
PREFERRED STOCKS - 0.2%
BANKS - 0.2%
 233,115   *  Federal Home Loan Mortgage Corp   1,270 
 740,991   *  Federal National Mortgage Association   4,268 
 14,500   *  M&T Bank Corp   15,617 
        TOTAL BANKS   21,155 
        TOTAL PREFERRED STOCKS   21,155 
        (Cost $38,865)     
              
RIGHTS / WARRANTS - 0.0%
ENERGY - 0.0%
 17,288      Repsol S.A.   8 
        TOTAL ENERGY   8 
              
        TOTAL RIGHTS / WARRANTS   8 
        (Cost $8)     

 

              MATURITY    
PRINCIPAL      ISSUER  RATE  DATE    
SHORT-TERM INVESTMENTS - 3.0%
TREASURY DEBT - 1.6%
$3,200,000     United States Treasury Bill   0.691%  07/06/17   3,200 
 50,000,000      United States Treasury Bill   0.773   07/20/17   49,981 
 7,200,000     United States Treasury Bill   0.788   07/27/17   7,196 
 54,500,000      United States Treasury Bill   0.857-0.912   08/03/17   54,460 
 53,000,000      United States Treasury Bill   0.798   08/24/17   52,931 
 18,200,000      United States Treasury Bill   0.958   08/31/17   18,172 
 18,000,000      United States Treasury Bill   0.941-0.959   09/21/17   17,961 
 13,300,000      United States Treasury Bill   0.999   09/28/17   13,268 
        TOTAL TREASURY DEBT           217,169 
                      
INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED - 1.4%
TREASURY DEBT - 1.4%
 75,000,000      United States Treasury Bill   0787-0.861   07/27/17   74,956 
 50,000,000      United States Treasury Bill   0.857   08/03/17   49,961 
 50,000,000      United States Treasury Bill   0.912   08/24/17   49,932 
 25,000,000      United States Treasury Bill   0.903   09/07/17   25,126 
        TOTAL TREASURY DEBT           199,975 
                      
TOTAL INVESTMENT OF CASH COLLATERAL FOR SECURITIES LOANED         199,975  
                      
        TOTAL SHORT-TERM INVESTMENTS           417,144 
        (Cost $416,972)             
388

COLLEGE RETIREMENT EQUITIES FUND - Social Choice Account

 

       ISSUER  VALUE
(000)
 
                       TOTAL INVESTMENTS - 102.3%  $14,292,916 
            (Cost $12,133,386)     
            OTHER ASSETS & LIABILITIES, NET - (2.3)%   (321,897)
            NET ASSETS - 100.0%  $13,971,019 
             
                 
    Abbreviation(s):
  REIT   Real Estate Investment Trust

 

    *   Non-income producing
    ^   Amount represents less than $1,000.
    b   In bankruptcy
    e   All or a portion of these securities are out on loan. The aggregate value of securities on loan is $192,208,000.
    g   Security is exempt from registration under Rule 144(A) of the Securities Act of 1933. Such securities are deemed liquid and may be resold in transactions exempt from registration to qualified institutional buyers. At 6/30/17, the aggregate value of these securities was $911,616,000 or 6.5% of net assets.
    h   All or a portion of these securities were purchased on a delayed delivery basis.
    i   Floating or variable rate security. Coupon rate reflects the rate at period end.
    j   Zero coupon
    m   Indicates a security that has been deemed illiquid.
    w   All or a portion of these securities have been segregated to cover collateral requirements on mortgage dollar rolls.
         
        Cost amounts are in thousands.
389

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

COLLEGE RETIREMENT EQUITIES FUND
MONEY MARKET ACCOUNT
SCHEDULE OF INVESTMENTS (unaudited)
June 30, 2017

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
SHORT-TERM INVESTMENTS - 100.0%             
                      
GOVERNMENT AGENCY DEBT - 59.6%             
$6,000,000      Federal Agricultural Mortgage Corp (FAMC)   0.820%  07/05/17  $5,999 
 17,000,000      FAMC   0.820   07/14/17   16,995 
 8,000,000      FAMC   0.650   07/21/17   7,997 
 36,455,000      FAMC   0.630-1.035   07/27/17   36,433 
 10,000,000      FAMC   0.860   08/01/17   9,993 
 8,000,000      FAMC   0.940   08/03/17   7,993 
 9,000,000      FAMC   1.030   09/13/17   8,981 
 10,000,000      FAMC   1.030-1.040   09/20/17   9,977 
 4,000,000      FAMC   0.780   10/27/17   3,990 
 10,000,000      FAMC   1.000   11/03/17   9,965 
 7,000,000      FAMC   1.180   02/16/18   6,947 
 44,000,000      Federal Farm Credit Bank (FFCB)   0.580   07/06/17   43,996 
 21,000,000      FFCB   0.960   07/18/17   20,991 
 35,000,000      FFCB   0.990   07/24/17   34,978 
 38,400,000      FFCB   0.790-0.990   07/25/17   38,376 
 10,000,000      FFCB   0.990   07/26/17   9,993 
 9,500,000      FFCB   0.990   08/02/17   9,492 
 25,000,000      FFCB   0.640-0.810   08/03/17   24,983 
 9,000,000      FFCB   0.850   08/07/17   8,992 
 25,000,000      FFCB   0.860   08/08/17   24,977 
 41,840,000      FFCB   0.820   08/09/17   41,803 
 43,630,000      FFCB   0.950   09/01/17   43,559 
 19,710,000      FFCB   0.930   09/05/17   19,676 
 23,440,000      FFCB   0.930   09/06/17   23,399 
 25,000,000      FFCB   0.990   09/08/17   24,953 
 25,000,000      FFCB   0.960   09/18/17   24,947 
 21,000,000      FFCB   1.030   09/20/17   20,951 
 4,300,000      FFCB   0.710-0.990   09/21/17   4,292 
 6,605,000      FFCB   1.030   09/26/17   6,589 
 25,000,000      FFCB   1.050   10/11/17   24,926 
 7,750,000      FFCB   0.750   10/16/17   7,733 
 21,500,000      FFCB   1.050   10/27/17   21,426 
 18,735,000      FFCB   1.050   11/07/17   18,665 
 3,000,000      FFCB   1.170   03/22/18   2,974 
 45,100,000      Federal Home Loan Bank (FHLB)   0.800-0.860   07/03/17   45,098 
 119,570,000      FHLB   0.775-1.020   07/05/17   119,559 
 21,800,000      FHLB   0.780   07/06/17   21,798 
 158,880,000      FHLB   0.600-0.895   07/07/17   158,860 
 90,000,000      FHLB   0.820-0.840   07/10/17   89,981 
 84,700,000      FHLB   0.625-0.825   07/11/17   84,682 
 56,250,000      FHLB   0.800-0.945   07/12/17   56,235 
 3,500,000      FHLB   0.930   07/13/17   3,499 
 110,460,000      FHLB   0.800-0.870   07/14/17   110,426 
 61,300,000      FHLB   0.800-0.865   07/17/17   61,277 
 61,685,000      FHLB   0.810-0.995   07/18/17   61,661 
 120,370,000      FHLB   0.625-0.855   07/19/17   120,323 
390

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$82,747,000      FHLB   0.635%-1.020%  07/21/17  $82,707 
 106,650,000      FHLB   0.830-1.000   07/24/17   106,588 
 101,990,000      FHLB   0.880-1.015   07/25/17   101,924 
 120,500,000      FHLB   0.635-0.900   07/26/17   120,433 
 134,112,000      FHLB   0.635-1.035   07/28/17   134,037 
 10,000,000      FHLB   0.810   08/01/17   9,993 
 93,915,000      FHLB   0.650-0.950   08/02/17   93,848 
 12,750,000      FHLB   0.640-0.840   08/03/17   12,742 
 91,825,000      FHLB   0.910-1.005   08/04/17   91,743 
 43,800,000      FHLB   0.935-1.025   08/07/17   43,756 
 79,210,000      FHLB   0.640-0.940   08/09/17   79,152 
 14,000,000      FHLB   1.025   08/10/17   13,984 
 89,600,000      FHLB   0.665-1.000   08/11/17   89,510 
 21,185,000      FHLB   0.975   08/14/17   21,160 
 10,200,000      FHLB   1.015   08/16/17   10,187 
 64,850,000      FHLB   0.680-0.970   08/18/17   64,770 
 17,475,000      FHLB   1.000   08/21/17   17,450 
 93,465,000      FHLB   0.930-0.970   08/23/17   93,334 
 131,325,000      FHLB   0.900-1.030   08/25/17   131,126 
 20,000,000      FHLB   0.895   08/28/17   19,971 
 125,000,000      FHLB   1.020-1.035   08/29/17   124,789 
 2,020,000      FHLB   1.000   08/30/17   2,017 
 30,000,000      FHLB   0.995   09/01/17   29,949 
 83,875,000      FHLB   1.010-1.050   09/05/17   83,718 
 39,380,000      FHLB   1.005-1.025   09/06/17   39,306 
 31,000,000      FHLB   1.040   09/07/17   30,939 
 55,700,000      FHLB   0.900-1.045   09/08/17   55,593 
 50,000,000      FHLB   1.030   09/11/17   49,897 
 64,690,000      FHLB   1.000-1.040   09/13/17   64,554 
 55,445,000      FHLB   0.680-0.930   09/18/17   55,335 
 30,000,000      FHLB   1.035   09/19/17   29,931 
 55,000,000      FHLB   1.045-1.050   09/20/17   54,871 
 25,000,000      FHLB   1.044   09/22/17   24,940 
 39,605,000      FHLB   1.020-1.045   09/25/17   39,508 
 7,010,000      FHLB   1.045   09/26/17   6,992 
 55,000,000      FHLB   1.040   09/27/17   54,860 
 61,370,000      FHLB   1.000-1.050   09/29/17   61,212 
 9,000,000      FHLB   1.010   10/13/17   8,974 
 50,000,000      FHLB   1.080   10/19/17   49,835 
 5,096,000      FHLB   1.000   10/20/17   5,080 
 2,700,000      FHLB   1.040   10/23/17   2,691 
 6,195,000      FHLB   0.990-1.020   10/25/17   6,175 
 8,875,000      FHLB   0.980-0.990   10/27/17   8,846 
 2,335,000      FHLB   0.970   11/01/17   2,327 
 4,350,000      FHLB   0.980   11/02/17   4,335 
 1,000,000      FHLB   1.100   11/06/17   996 
 1,370,000      FHLB   1.080   11/17/17   1,364 
 11,177,000      FHLB   1.073-1.100   11/22/17   11,129 
 6,400,000      FHLB   0.960   11/27/17   6,375 
 16,000,000      Federal Home Loan Mortgage Corp (FHLMC)   0.550-0.790   07/03/17   15,999 
 17,750,000      FHLMC   0.810   07/13/17   17,745 
 10,000,000      FHLMC   0.750   07/14/17   10,000 
 9,286,000      FHLMC   0.620   07/17/17   9,283 
 30,000,000      FHLMC   0.925   07/27/17   29,980 
 25,000,000      FHLMC   0.950   08/01/17   24,980 
391

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$10,000,000      FHLMC   0.820%  08/03/17  $9,993 
 69,250,000      FHLMC   0.800-0.825   08/08/17   69,191 
 25,000,000      FHLMC   1.000   08/11/17   24,972 
 24,335,000      FHLMC   1.010   08/18/17   24,302 
 33,375,000      FHLMC   0.830-0.989   08/28/17   33,325 
 30,200,000      FHLMC   0.840   08/30/17   30,158 
 33,010,000      FHLMC   0.850-0.870   09/05/17   32,958 
 13,000,000      FHLMC   0.990   09/06/17   12,976 
 33,950,000      FHLMC   0.860   09/07/17   33,895 
 39,860,000      FHLMC   0.850-0.885   09/08/17   39,793 
 1,840,000      FHLMC   0.915   09/11/17   1,837 
 17,765,000      FHLMC   0.860-0.970   09/12/17   17,732 
 46,000,000      FHLMC   0.950   09/15/17   45,908 
 6,944,000      FHLMC   1.020   09/18/17   6,928 
 8,160,000      FHLMC   0.910   09/19/17   8,144 
 14,150,000      FHLMC   0.715-1.045   10/02/17   14,122 
 70,000,000      FHLMC   0.995   10/06/17   69,812 
 38,510,000      FHLMC   0.950-0.990   10/10/17   38,405 
 22,130,000      FHLMC   0.990   10/11/17   22,068 
 40,000,000      FHLMC   0.995   10/13/17   39,885 
 49,885,000      FHLMC   0.995-1.020   10/17/17   49,734 
 30,000,000      FHLMC   1.020   10/18/17   29,907 
 17,750,000      FHLMC   1.025   10/19/17   17,694 
 24,075,000      FHLMC   1.000   10/23/17   23,999 
 30,000,000      FHLMC   1.000   10/24/17   29,904 
 6,415,000      FHLMC   1.005-1.010   10/26/17   6,394 
 25,836,000      FHLMC   0.720-1.020   11/02/17   25,748 
 85,000,000      FHLMC   1.050-1.070   11/03/17   84,685 
 25,800,000      FHLMC   1.085-1.090   11/10/17   25,697 
 25,000,000      FHLMC   1.110   02/05/18   24,831 
 22,740,000      Federal National Mortgage Association (FNMA)   0.805   07/05/17   22,738 
 50,000,000      FNMA   0.770   07/10/17   49,990 
 49,000,000      FNMA   0.770   07/11/17   48,990 
 107,300,000      FNMA   0.595-0.810   07/12/17   107,275 
 46,440,000      FNMA   0.810   07/18/17   46,422 
 17,251,000      FNMA   0.880   07/19/17   17,243 
 30,000,000      FNMA   0.800   07/27/17   29,983 
 22,820,000      FNMA   0.780   08/01/17   22,805 
 30,125,000      FNMA   0.810-0.870   08/02/17   30,102 
 30,000,000      FNMA   0.860   08/07/17   29,973 
 31,000,000      FNMA   0.940-1.010   08/09/17   30,967 
 74,213,000      FNMA   0.930-0.970   08/23/17   74,108 
 25,000,000      FNMA   0.875   08/28/17   24,999 
 20,000,000      FNMA   0.890   08/28/17   19,971 
 83,850,000      FNMA   0.965-0.970   08/30/17   83,715 
 32,000,000      FNMA   0.900-1.015   09/01/17   31,948 
 24,000,000      FNMA   0.990   09/06/17   23,956 
 47,500,000      FNMA   0.960-1.010   09/27/17   47,385 
 10,000,000      FNMA   1.030   10/02/17   9,973 
 35,000,000      FNMA   1.010   10/04/17   34,907 
 53,630,000      FNMA   1.000-1.010   10/12/17   53,476 
 35,535,000      FNMA   1.020   10/16/17   35,427 
        TOTAL GOVERNMENT AGENCY DEBT           5,695,630 
392

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
TREASURY DEBT - 21.1%             
$100,000,000      United States Treasury Bill   0.742%-0.785%  07/06/17  $99,989 
 120,000,000      United States Treasury Bill   0.587-0.800   07/13/17   119,970 
 75,000,000      United States Treasury Bill   0.780-0.819   07/20/17   74,969 
 70,000,000      United States Treasury Bill   0.780-0.836   07/27/17   69,960 
 120,000,000      United States Treasury Bill   0.621-0.914   08/03/17   119,910 
 125,000,000      United States Treasury Bill   0.626-0.930   08/10/17   124,891 
 140,000,000      United States Treasury Bill   0.612-0.960   08/17/17   139,860 
 125,000,000      United States Treasury Bill   0.645-0.955   08/24/17   124,842 
 35,000,000      United States Treasury Bill   0.803-0.933   08/31/17   34,947 
 100,000,000      United States Treasury Bill   0.840-0.955   09/07/17   99,831 
 85,840,000      United States Treasury Bill   0.850-0.925   09/14/17   85,679 
 50,000,000      United States Treasury Bill   0.915-0.941   09/21/17   49,895 
 50,000,000      United States Treasury Bill   0.885-0.956   09/28/17   49,884 
 370,000      United States Treasury Bill   0.650   10/12/17   369 
 20,000,000      United States Treasury Bill   0.976   10/26/17   19,936 
 70,000,000      United States Treasury Note   0.500   07/31/17   69,990 
 50,925,000      United States Treasury Note   0.625   07/31/17   50,917 
 100,200,000      United States Treasury Note   0.875   08/15/17   100,220 
 110,000,000      United States Treasury Note   0.625   08/31/17   109,988 
 102,520,000      United States Treasury Note   1.000   09/15/17   102,584 
 80,500,000      United States Treasury Note   0.750   10/31/17   80,495 
 20,975,000      United States Treasury Note   0.875   11/15/17   20,974 
 10,000,000      United States Treasury Note   0.625   11/30/17   9,984 
 36,895,000      United States Treasury Note   0.875   11/30/17   36,889 
 43,920,000      United States Treasury Note   1.000   12/15/17   43,923 
 20,000,000      United States Treasury Note   0.750   01/31/18   19,951 
 41,750,000      United States Treasury Note   0.875   01/31/18   41,682 
 70,000,000      United States Treasury Note   1.000   02/15/18   69,926 
 46,825,000      United States Treasury Note   0.750   02/28/18   46,690 
        TOTAL TREASURY DEBT           2,019,145 
                      
VARIABLE RATE SECURITIES - 19.3%             
 45,000,000   i  Federal Agricultural Mortgage Corp (FAMC)   1.101   08/01/17   45,000 
 45,000,000   i  FAMC   1.146   09/06/17   45,000 
 14,700,000   i  FAMC   1.070   09/21/17   14,700 
 50,000,000   i  FAMC   1.220   10/27/17   50,000 
 15,000,000   i  FAMC   0.917   01/26/18   14,992 
 45,000,000   i  FAMC   1.280   03/23/18   45,000 
 30,000,000   i  FAMC   0.940   04/27/18   30,000 
 50,000,000   i  FAMC   0.969   06/15/18   50,000 
 44,500,000   i  FAMC   0.956   08/03/18   44,500 
 25,000,000   i  FAMC   1.021   11/01/18   25,000 
 72,000,000   i  Federal Farm Credit Bank (FFCB)   1.189   07/17/17   72,000 
 50,000,000   i  FFCB   1.220   08/04/17   49,999 
 69,700,000   i  FFCB   0.952   08/15/17   69,700 
 12,000,000   i  FFCB   1.228   11/13/17   12,000 
 40,000,000   i  FFCB   1.239   01/17/18   39,985 
 46,500,000   i  FFCB   1.270   01/22/18   46,544 
 37,000,000   i  FFCB   1.110   02/02/18   36,976 
 3,750,000   i  FFCB   1.149   02/06/18   3,749 
 25,000,000   i  FFCB   1.366   02/23/18   24,997 
 50,000,000   i  FFCB   1.251   03/22/18   49,964 
393

COLLEGE RETIREMENT EQUITIES FUND - Money Market Account

 

              MATURITY  VALUE 
PRINCIPAL      ISSUER  RATE  DATE  (000) 
$10,000,000   i  FFCB   1.350%  05/14/18  $10,009 
 16,000,000   i  FFCB   1.380   05/17/18   16,003 
 25,000,000   i  FFCB   1.370   06/13/18   24,998 
 10,000,000   i  FFCB   1.191   08/01/18   10,031 
 40,000,000   i  FFCB   0.989   08/08/18   40,000 
 20,000,000   i  FFCB   1.279   08/08/18   20,075 
 20,000,000   i  FFCB   1.400   08/10/18   20,004 
 46,700,000   i  FFCB   1.250   08/27/18   46,697 
 95,000,000   i  FFCB   1.159   09/17/18   94,988 
 10,000,000   i  FFCB   1.237   09/18/18   10,020 
 50,000,000   i  FFCB   1.032   11/14/18   49,995 
 50,000,000   i  FFCB   1.106   01/25/19   50,004 
 50,000,000   i  FFCB   1.170   06/27/19   50,010 
 75,000,000   i  Federal Home Loan Bank (FHLB)   1.036   02/23/18   75,007 
 50,000,000   i  FHLB   0.891   04/20/18   50,002 
 72,500,000   i  FHLB   0.958   01/18/19   72,503 
 20,000,000   i  FHLB   0.952   02/13/19   20,002 
 50,000,000   i  FHLB   1.176   02/22/19   50,046 
 38,000,000   i  FHLB   0.988   03/06/19   37,970 
 50,000,000   i  Federal Home Loan Mortgage Corp (FHLMC)   1.344   07/21/17   50,000 
 25,000,000   i  FHLMC   1.072   11/13/17   25,000 
 78,000,000   i  Federal National Mortgage Association (FNMA)   1.232   07/20/17   77,997 
 94,500,000   i  FNMA   1.182   08/16/17   94,499 
 66,140,000   i  FNMA   1.086   10/05/17   66,133 
 20,000,000   i  FNMA   1.230   03/21/18   20,023 
        TOTAL VARIABLE RATE SECURITIES           1,852,122 
                      
        TOTAL SHORT-TERM INVESTMENTS           9,566,897 
        (Cost $9,566,897)             
                      
        TOTAL INVESTMENTS - 100.0%           9,566,897 
        (Cost $9,566,897)             
        OTHER ASSETS & LIABILITIES, NET - 0.0%           (1,019)
        NET ASSETS - 100.0%          $9,565,878 
       
       
    i   Floating or variable rate security. Coupon rate reflects the rate at period end.
         
        Cost amounts are in thousands.
394

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

Not Applicable.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

 

Not Applicable.

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

 

Not Applicable.

 

Item 10. Submission of Matters to a Vote of Security Holders.

 

There were no material changes to the procedures by which shareholders may recommend nominees to the Registrant’s Board of Trustees.

 

Item 11. Controls and Procedures.

 

(a) An evaluation was performed within 90 days of the filing date of the report under the supervision of the Registrant’s management, including the principal executive officer and principal financial officer, of the effectiveness of the design and operation of the Registrant’s disclosure controls and procedures. Based on that evaluation, the Registrant’s management, including the principal executive officer and principal financial officer, concluded that the Registrant’s disclosure controls and procedures were effective for this semi-annual reporting period.

 

(b) There were no changes in the Registrant’s internal control over financial reporting that occurred during the Registrant’s semi-annual period covered by this report that materially affected, or are reasonably likely to materially affect, the Registrant’s internal control over financial reporting.

 

Item 12. Exhibits.

 

12(a)(2)(i) Section 302 certification of the principal executive officer

12(a)(2)(ii) Section 302 certification of the principal financial officer

12(b) Section 906 certification of principal executive officer and principal financial officer

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

    COLLEGE RETIREMENT EQUITIES FUND
         
Dated: August 15, 2017   By:  /s/Carol W. Deckbar  
      Carol W. Deckbar  
      Principal Executive Officer and  
      Executive Vice President  

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the Registrant and in the capacities and on the dates indicated.

 

Dated: August 15, 2017   By:  /s/Carol W. Deckbar  
      Carol W. Deckbar
      Principal Executive Officer and
      Executive Vice President
      (principal executive officer)
         
Dated: August 15, 2017   By: /s/Glenn E. Brightman  
      Glenn E. Brightman
      Executive Vice President, Chief Financial Officer
      and Principal Accounting Officer
      (principal financial officer)
 

EXHIBIT INDEX

 

Item 12. Exhibits.

 

12(a)(2)(i) Section 302 certification of the principal executive officer

12(a)(2)(ii) Section 302 certification of the principal financial officer

12(b) Section 906 certification of principal executive officer and principal financial officer

 
EX-99.CERT 2 c88718_ex99cert.htm

Exhibit 12(a)(2)(i)

 

CERTIFICATION

 

I, Carol W. Deckbar, certify that:

 

1. I have reviewed this report on Form N-CSR of the College Retirement Equities Fund;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

 

4. The Registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

 

(a)Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
(b)Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
(c)Evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and
(d)Disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and

 

5. The Registrant’s other certifying officer(s) and I have disclosed to the Registrant’s auditors and the audit committee of the Registrant’s board of directors (or persons performing the equivalent functions):

 
(a)All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize, and report financial information; and

 

(b)Any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

Date: August 15, 2017   By:  /s/Carol W. Deckbar  
      Carol W. Deckbar
      Principal Executive Officer and
      Executive Vice President
      (principal executive officer)
 

Exhibit 12(a)(2)(ii)

 

CERTIFICATION

 

I, Glenn E. Brightman, certify that:

 

1. I have reviewed this report on Form N-CSR of the College Retirement Equities Fund;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the Registrant as of, and for, the periods presented in this report;

 

4. The Registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the Registrant and have:

 

(a)Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the Registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;
(b)Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;
(c)Evaluated the effectiveness of the Registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and
(d)Disclosed in this report any change in the Registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the Registrant’s internal control over financial reporting; and
 

5. The Registrant’s other certifying officer(s) and I have disclosed to the Registrant’s auditors and the audit committee of the Registrant’s board of directors (or persons performing the equivalent functions):

 

(a)All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the Registrant’s ability to record, process, summarize, and report financial information; and

 

(b)Any fraud, whether or not material, that involves management or other employees who have a significant role in the Registrant’s internal control over financial reporting.

 

Date: August 15, 2017   By:  /s/Glenn E. Brightman  
      Glenn E. Brightman
      Executive Vice President, Chief Financial
      Officer and Principal Accounting Officer
      (principal financial officer)
 
EX-99.906 CERT 3 c88718_ex99-906cert.htm

Exhibit 12(b)

 

CERTIFICATION

 

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

 

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), each of the undersigned officers of the College Retirement Equities Fund (the “Fund”) does hereby certify, to such officer’s knowledge, that:

 

This report on Form N-CSR of the Fund (the “Form N-CSR”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934 and information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the Fund.

 

Dated: August 15, 2017   By:  /s/Carol W. Deckbar  
      Carol W. Deckbar
      Principal Executive Officer and Executive Vice President
      (principal executive officer)
         
Dated: August 15, 2017   By: /s/Glenn E. Brightman  
      Glenn E. Brightman
      Executive Vice President, Chief Financial
      Officer and Principal Accounting Officer
      (principal financial officer)
 
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