0001752724-23-065864.txt : 20230324 0001752724-23-065864.hdr.sgml : 20230324 20230324163228 ACCESSION NUMBER: 0001752724-23-065864 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230131 FILED AS OF DATE: 20230324 DATE AS OF CHANGE: 20230324 PERIOD START: 20231031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: FIRST EAGLE FUNDS CENTRAL INDEX KEY: 0000906352 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-07762 FILM NUMBER: 23760299 BUSINESS ADDRESS: STREET 1: 1345 AVENUE OF THE AMERICAS CITY: NEW YORK STATE: NY ZIP: 10105 BUSINESS PHONE: 212-698-3393 MAIL ADDRESS: STREET 1: 1345 AVENUE OF THE AMERICAS CITY: NEW YORK STATE: NY ZIP: 10105 FORMER COMPANY: FORMER CONFORMED NAME: FIRST EAGLE FUNDS INC DATE OF NAME CHANGE: 20030103 FORMER COMPANY: FORMER CONFORMED NAME: FIRST EAGLE SOGEN FUNDS INC DATE OF NAME CHANGE: 20000403 FORMER COMPANY: FORMER CONFORMED NAME: SOGEN FUNDS INC DATE OF NAME CHANGE: 19930714 0000906352 S000035750 First Eagle Global Income Builder Fund C000109583 Class A FEBAX C000109584 Class C FEBCX C000109585 Class I FEBIX C000179787 Class R3 FBRRX C000179788 Class R4 FIBRX C000179789 Class R5 EABRX C000179790 Class R6 FEBRX NPORT-P 1 primary_doc.xml NPORT-P false 0000906352 XXXXXXXX S000035750 C000109584 C000109583 C000179790 C000179789 C000109585 C000179787 C000179788 First Eagle Funds 811-07762 0000906352 549300FE2F4XF7FZN136 1345 Avenue of the Americas New York 10105 800-334-2143 First Eagle Global Income Builder Fund S000035750 549300DPCIHKPEHFS988 2023-10-31 2023-01-31 N 1675668199.98 9217228.63 1666450971.35 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 61256.80000000 N N/A N/A Bangkok Bank PCL 549300CCL2BKJGMYXV60 Bangkok Bank PCL N/A 1644800.00000000 NS 7929392.13000000 0.475825107748 Long EC CORP TH N 2 N N N Oracle Corp. 1Z4GXXU7ZHVWFCD8TV52 Oracle Corp. 68389X105 77125.00000000 NS USD 6822477.50000000 0.409401633609 Long EC CORP US N 1 N N N Kraft Heinz Co. (The) 9845007488EC87F5AF14 Kraft Heinz Co. (The) 500754106 148824.00000000 NS USD 6031836.72000000 0.361957046663 Long EC CORP US N 1 N N N CITGO Petroleum Corp. YX52P86PXMLYDOTUQ225 CITGO Petroleum Corp. 17302XAM8 5182000.00000000 PA USD 5077660.43000000 0.304699059096 Long DBT CORP US Y 2 2026-06-15 Fixed 6.37500000 N N N N N N CITGO Petroleum Corp. YX52P86PXMLYDOTUQ225 CITGO Petroleum Corp. 17302XAK2 8657000.00000000 PA USD 8584108.06000000 0.515113148096 Long DBT CORP US Y 2 2025-06-15 Fixed 7.00000000 N N N N N N Iron Mountain, Inc. SQL3F6CKNNBM3SQGHX24 Iron Mountain, Inc. 46284VAG6 1596000.00000000 PA USD 1467543.16000000 0.088063986593 Long DBT CORP US Y 2 2028-07-15 Fixed 5.00000000 N N N N N N Walgreens Boots Alliance, Inc. 549300RPTUOIXG4LIH86 Walgreens Boots Alliance, Inc. 93142XP13 6468000.00000000 PA USD 6467166.53000000 0.388080216051 Long STIV CORP US Y 2 2023-02-01 None 0.00000000 N N N N N N N/A N/A Boston Properties, Inc. 00CAC1EK1 -224.00000000 NC USD -16800.00000000 -0.00100813046 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Boston Properties, Inc. Boston Properties, Inc. 100.00000000 90.00000000 USD 2023-07-21 XXXX -5514.74000000 N N N N/A N/A Philip Morris International, Inc. 00CA4EYF1 -149.00000000 NC USD -2607.50000000 -0.00015647024 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Philip Morris International, Inc. Philip Morris International, Inc. 100.00000000 115.00000000 USD 2023-03-17 XXXX 6877.90000000 N N N Exxon Mobil Corp. J3WHBG0MTS7O8ZVMDC91 Exxon Mobil Corp. 30231G102 434620.00000000 NS USD 50420266.20000000 3.025607537625 Long EC CORP US N 1 N N N N/A N/A Weyerhaeuser Co. 00CACC4N2 -529.00000000 NC USD -33062.50000000 -0.00198400676 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Weyerhaeuser Co. Weyerhaeuser Co. 100.00000000 38.00000000 USD 2023-07-21 XXXX -17900.74000000 N N N N/A N/A HCA Healthcare, Inc. N/A -64.00000000 NC USD -25280.00000000 -0.00151699632 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 320.00000000 USD 2023-09-15 XXXX 5835.56000000 N N N Scripps Escrow II, Inc. N/A Scripps Escrow II, Inc. 81105DAB1 64000.00000000 PA USD 51648.00000000 0.003099281100 Long DBT CORP US Y 2 2031-01-15 Fixed 5.37500000 N N N N N N Taiwan Semiconductor Manufacturing Co. Ltd. 549300KB6NK5SBD14S87 Taiwan Semiconductor Manufacturing Co. Ltd. 874039100 47844.00000000 NS USD 4436574.12000000 0.266228901796 Long EC CORP TW N 1 N N N Walmart, Inc. Y87794H0US1R65VBXU25 Walmart, Inc. 931142103 56972.00000000 NS USD 8196561.64000000 0.491857353196 Long EC CORP US N 1 N N N HAL Trust 5493000O3IE3DNOY3R07 HAL Trust N/A 39727.00000000 NS 5471588.88000000 0.328337825358 Long EC CORP BM N 2 N N N IHO Verwaltungs GmbH 529900JL0HDVGZMUJF32 IHO Verwaltungs GmbH 44963BAE8 1336632.00000000 PA USD 1241490.79000000 0.074499088862 Long DBT CORP DE Y 2 2027-05-15 Fixed 6.00000000 N N Y N N N KFC Holding Co. N/A KFC Holding Co. 48250NAC9 1472000.00000000 PA USD 1427840.00000000 0.085681488657 Long DBT CORP US Y 2 2027-06-01 Fixed 4.75000000 N N N N N N N/A N/A Elevance Health, Inc. N/A -30.00000000 NC USD -46560.00000000 -0.00279396158 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Elevance Health, Inc. Elevance Health, Inc. 100.00000000 500.00000000 USD 2023-03-17 XXXX 27438.16000000 N N N Bank of New York Mellon Corp. (The) WFLLPEPC7FZXENRZV188 Bank of New York Mellon Corp. (The), Series I 064058AL4 2882000.00000000 PA USD 2503881.60000000 0.150252341235 Long DBT CORP US N 2 2026-12-20 Variable 3.75000120 N N N N N N N/A N/A Forward Foreign Currency Contract N/A 1.00000000 NC N/A -106127.04000000 -0.00636844658 N/A DFE N/A N 2 Goldman Sachs Bank KD3XUN7C6T14HNAYLU02 3664000.00000000 EUR 3895931.20000000 USD 2023-04-19 -106127.04000000 N N N N/A N/A Wells Fargo & Co. 00CA2GHF7 -322.00000000 NC USD -966.00000000 -0.00005796750 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Wells Fargo & Co. Wells Fargo & Co. 100.00000000 55.00000000 USD 2023-03-17 XXXX 19532.64000000 N N N N/A N/A HCA Healthcare, Inc. N/A -64.00000000 NC USD -37120.00000000 -0.00222748827 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 310.00000000 USD 2023-09-15 XXXX 4295.49000000 N N N N/A N/A Bank of New York Mellon Corp. (The) 00C9VNP98 -327.00000000 NC USD -8175.00000000 -0.00049056348 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Bank of New York Mellon Corp. (The) Bank of New York Mellon Corp. (The) 100.00000000 60.00000000 USD 2023-06-16 XXXX -212.14000000 N N N Republic of Singapore 549300ZSV6VOGFH1ER70 Republic of Singapore N/A 7592000.00000000 PA 5449851.73000000 0.327033427547 Long DBT NUSS SG N 2 2026-11-01 Fixed 1.25000000 N N N N N N N/A N/A HCA Healthcare, Inc. N/A -64.00000000 NC USD -41600.00000000 -0.00249632306 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 290.00000000 USD 2023-06-16 XXXX 535.47000000 N N N Kingdom of Saudi Arabia 635400FMICXSM3SI3H65 Kingdom of Saudi Arabia 80413TBC2 800000.00000000 PA USD 810240.00000000 0.048620692353 Long DBT NUSS SA Y 2 2028-01-18 Fixed 4.75000000 N N N N N N Charles River Laboratories International, Inc. 549300BSQ0R4UZ5KX287 Charles River Laboratories International, Inc. 159864AE7 2282000.00000000 PA USD 2111603.06000000 0.126712582386 Long DBT CORP US Y 2 2028-05-01 Fixed 4.25000000 N N N N N N N/A N/A Colgate-Palmolive Co. 00CADKTU0 -210.00000000 NC USD -3675.00000000 -0.00022052854 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Colgate-Palmolive Co. Colgate-Palmolive Co. 100.00000000 90.00000000 USD 2023-08-18 XXXX 9693.68000000 N N N HCA, Inc. L3CJ6J7LJ2DX62FTXD46 HCA, Inc. 404119BR9 1500000.00000000 PA USD 1505666.04000000 0.090351655457 Long DBT CORP US N 2 2025-02-01 Fixed 5.37500000 N N N N N N N/A N/A Exxon Mobil Corp. 00CA05P80 -147.00000000 NC USD -3381.00000000 -0.00020288625 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 150.00000000 USD 2023-06-16 XXXX 4654.10000000 N N N American Tower Corp. 5493006ORUSIL88JOE18 American Tower Corp. 03027XAZ3 115000.00000000 PA USD 109046.36000000 0.006543628458 Long DBT CORP US N 2 2025-03-15 Fixed 2.40000000 N N N N N N N/A N/A Walmart, Inc. 00CA4LZK3 -113.00000000 NC USD -791.00000000 -0.00004746614 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Walmart, Inc. Walmart, Inc. 100.00000000 170.00000000 USD 2023-03-17 XXXX 16233.39000000 N N N Barrick Gold Corp. 0O4KBQCJZX82UKGCBV73 Barrick Gold Corp. 067901108 90496.00000000 NS USD 1769196.80000000 0.106165547646 Long EC CORP CA N 1 N N N N/A N/A Exxon Mobil Corp. 00CA7KS87 -129.00000000 NC USD -516.00000000 -0.00003096400 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 150.00000000 USD 2023-03-17 XXXX 6735.03000000 N N N Aramark Services, Inc. 42YMHYH0XMHJEXDUB065 Aramark Services, Inc. 038522AQ1 194000.00000000 PA USD 182845.00000000 0.010972119980 Long DBT CORP US Y 2 2028-02-01 Fixed 5.00000000 N N N N N N Bolsa Mexicana de Valores SAB de CV 894500CS2D6RLGW61A19 Bolsa Mexicana de Valores SAB de CV N/A 403523.00000000 NS 875169.50000000 0.052516966598 Long EC CORP MX N 1 N N N N/A N/A Elevance Health, Inc. N/A -29.00000000 NC USD -42775.00000000 -0.00256683219 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Elevance Health, Inc. Elevance Health, Inc. 100.00000000 540.00000000 USD 2023-06-16 XXXX 50216.06000000 N N N N/A N/A Exxon Mobil Corp. 00CAC26A0 -145.00000000 NC USD -4132.50000000 -0.00024798209 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 155.00000000 USD 2023-07-21 XXXX 2778.31000000 N N N Taylor Morrison Communities, Inc. 549300O1Z08HI2MRK572 Taylor Morrison Communities, Inc. 87724RAJ1 2000000.00000000 PA USD 1829000.00000000 0.109754204080 Long DBT CORP US Y 2 2030-08-01 Fixed 5.12500000 N N N N N N Truist Financial Corp. 549300DRQQI75D2JP341 Truist Financial Corp., Series N 89832QAD1 11982000.00000000 PA USD 11481332.61000000 0.688969121047 Long DBT CORP US N 2 2024-09-01 Variable 4.79999880 N N N N N N Fidelity National Financial, Inc. 549300CAZYIH39SYQ287 Fidelity National Financial, Inc. 31620R303 15685.00000000 NS USD 690610.55000000 0.041441996306 Long EC CORP US N 1 N N N Danone SA 969500KMUQ2B6CBAF162 Danone SA N/A 366854.00000000 NS 20118012.14000000 1.207236965615 Long EC CORP FR N 2 N N N Sanofi 549300E9PC51EN656011 Sanofi N/A 151208.00000000 NS 14806964.11000000 0.888532838023 Long EC CORP FR N 2 N N N Coronado Finance Pty. Ltd. 549300NS5FS0W548RE27 Coronado Finance Pty. Ltd. 21979LAA4 1459000.00000000 PA USD 1503960.44000000 0.090249306211 Long DBT CORP AU Y 2 2026-05-15 Fixed 10.75000000 N N N N N N Thai Beverage PCL 529900VZFHQZ684D8L07 Thai Beverage PCL N/A 10785200.00000000 NS 5760804.57000000 0.345693012818 Long EC CORP TH N 2 N N N Nufarm Australia Ltd. N/A Nufarm Australia Ltd. 67052NAB1 2595000.00000000 PA USD 2354483.10000000 0.141287271001 Long DBT CORP AU Y 2 2030-01-27 Fixed 5.00000000 N N N N N N GSK plc 5493000HZTVUYLO1D793 GSK plc N/A 403994.00000000 NS 7096170.24000000 0.425825323516 Long EC CORP GB N 2 N N N CH Robinson Worldwide, Inc. 529900WNWN5L0OVDHA79 CH Robinson Worldwide, Inc. 12541W209 107646.00000000 NS USD 10782899.82000000 0.647057729593 Long EC CORP US N 1 N N N N/A N/A Bank of New York Mellon Corp. (The) 00C9VNP80 -336.00000000 NC USD -36960.00000000 -0.00221788703 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Bank of New York Mellon Corp. (The) Bank of New York Mellon Corp. (The) 100.00000000 55.00000000 USD 2023-06-16 XXXX -15560.04000000 N N N Berkeley Group Holdings plc 2138009OQSSLVVHQAL78 Berkeley Group Holdings plc N/A 222665.00000000 NS 11402161.25000000 0.684218224599 Long EC CORP GB N 2 N N N Iron Mountain, Inc. SQL3F6CKNNBM3SQGHX24 Iron Mountain, Inc. 46284VAF8 1322000.00000000 PA USD 1193944.47000000 0.071645940416 Long DBT CORP US Y 2 2029-09-15 Fixed 4.87500000 N N N N N N Edgewell Personal Care Co. 549300CY8QZDL4Z3RU59 Edgewell Personal Care Co. 28035QAB8 1557000.00000000 PA USD 1356536.25000000 0.081402709909 Long DBT CORP US Y 2 2029-04-01 Fixed 4.12500000 N N N N N N Brenntag SE NNROIXVWJ7CPSR27SV97 Brenntag SE N/A 70045.00000000 NS 5228723.20000000 0.313763998455 Long EC CORP DE N 2 N N N N/A N/A Universal Health Services, Inc. 00CAE1784 -104.00000000 NC USD -6240.00000000 -0.00037444846 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Universal Health Services, Inc. Universal Health Services, Inc. 100.00000000 160.00000000 USD 2023-02-17 XXXX 4020.59000000 N N N British American Tobacco plc 213800FKA5MF17RJKT63 British American Tobacco plc N/A 989342.00000000 NS 37925261.54000000 2.275810221363 Long EC CORP GB N 2 N N N Komatsu Ltd. 5493004LQ0B4T7QPQV17 Komatsu Ltd. N/A 203200.00000000 NS 4993530.31000000 0.299650598538 Long EC CORP JP N 2 N N N N/A N/A Schlumberger Ltd. N/A -301.00000000 NC USD -11438.00000000 -0.00068636882 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Schlumberger Ltd. Schlumberger Ltd. 100.00000000 75.00000000 USD 2023-05-19 XXXX 9529.73000000 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Inflation Linked Notes 91282CEJ6 12630800.00000000 PA USD 12577084.93000000 0.754722769900 Long DBT UST US N 2 2027-04-15 Fixed 0.12500000 N N N N N N N/A N/A Coca-Cola Femsa SAB de CV 00CA1K5L9 -464.00000000 NC USD -13920.00000000 -0.00083530810 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Coca-Cola Femsa SAB de CV Coca-Cola Femsa SAB de CV 100.00000000 80.00000000 USD 2023-02-17 XXXX -7386.65000000 N N N N/A N/A Forward Foreign Currency Contract N/A 1.00000000 NC N/A -163054.50000000 -0.00978453628 N/A DFE N/A N 2 UBS AG BFM8T61CT2L1QCEMIK50 3461000.00000000 EUR 3602762.56000000 USD 2023-02-15 -163054.50000000 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 9128285U0 19435700.00000000 PA USD 19064447.81000000 1.144014923796 Long DBT UST US N 2 2023-12-31 Fixed 2.62500000 N N N N N N N/A N/A Schlumberger Ltd. N/A -290.00000000 NC USD -20300.00000000 -0.00121815765 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Schlumberger Ltd. Schlumberger Ltd. 100.00000000 80.00000000 USD 2023-08-18 XXXX 205.96000000 N N N Centene Corp. 549300Z7JJ4TQSQGT333 Centene Corp. 15135BAR2 2873000.00000000 PA USD 2755982.71000000 0.165380365662 Long DBT CORP US N 2 2027-12-15 Fixed 4.25000000 N N N N N N Transcanada Trust 549300Y0MFCAXLBWUV51 Transcanada Trust, Series 16-A 89356BAB4 2550000.00000000 PA USD 2479365.00000000 0.148781154838 Long DBT CORP CA N 2 2076-08-15 Variable 5.87499840 N N N N N N N/A N/A Oracle Corp. N/A -187.00000000 NC USD -104720.00000000 -0.00628401325 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Oracle Corp. Oracle Corp. 100.00000000 85.00000000 USD 2023-03-17 XXXX -30732.94000000 N N N Carnival Corp. F1OF2ZSX47CR0BCWA982 Carnival Corp. 143658BQ4 1206000.00000000 PA USD 1041959.88000000 0.062525684698 Long DBT CORP PA Y 2 2028-08-01 Fixed 4.00000000 N N N N N N Ross Stores, Inc. 549300ENZFLPGRDFZQ60 Ross Stores, Inc. 778296103 46498.00000000 NS USD 5495598.62000000 0.329778596219 Long EC CORP US N 1 N N N Embecta Corp. 549300RPG8GXVDHNXZ62 Embecta Corp. 29082KAA3 2393000.00000000 PA USD 1971233.75000000 0.118289333673 Long DBT CORP US Y 2 2030-02-15 Fixed 5.00000000 N N N N N N UGI Corp. DX6GCWD4Q1JO9CRE5I40 UGI Corp. 902681105 152737.00000000 NS USD 6083514.71000000 0.365058127397 Long EC CORP US N 1 N N N Bank of America Corp. 9DJT3UXIJIZJI4WXO774 Bank of America Corp., Series L 060505682 10496.00000000 NS USD 13059123.20000000 0.783648809626 Long EP CORP US N 1 N N N Service Corp. International 549300RKVM2ME20JHZ15 Service Corp. International 817565CE2 857000.00000000 PA USD 820666.75000000 0.049246378327 Long DBT CORP US N 2 2029-06-01 Fixed 5.12500000 N N N N N N Svenska Handelsbanken AB NHBDILHZTYCNBV5UYZ31 Svenska Handelsbanken AB, Class A N/A 831749.00000000 NS 8673497.51000000 0.520477209297 Long EC CORP SE N 2 N N N Franco-Nevada Corp. N/A Franco-Nevada Corp. 351858105 42649.00000000 NS 6255913.22000000 0.375403376850 Long EC CORP CA N 1 N N N Teleflex, Inc. UUL85LWXB4NGSWWXIQ25 Teleflex, Inc. 879369AG1 782000.00000000 PA USD 721356.46000000 0.043286989680 Long DBT CORP US Y 2 2028-06-01 Fixed 4.25000000 N N N N N N Groupe Bruxelles Lambert NV 549300KV0ZEHT2KVU152 Groupe Bruxelles Lambert NV N/A 311546.00000000 NS 26651262.24000000 1.599282709074 Long EC CORP BE N 2 N N N Nohmi Bosai Ltd. N/A Nohmi Bosai Ltd. N/A 23300.00000000 NS 308955.68000000 0.018539740161 Long EC CORP JP N 2 N N N Lloyds Banking Group plc 549300PPXHEU2JF0AM85 Lloyds Banking Group plc N/A 9591729.00000000 NS 6242257.32000000 0.374583916797 Long EC CORP GB N 2 N N N Open Text Holdings, Inc. N/A Open Text Holdings, Inc. 683720AA4 6065000.00000000 PA USD 5107195.31000000 0.306471381264 Long DBT CORP US Y 2 2030-02-15 Fixed 4.12500000 N N N N N N N/A N/A HCA Healthcare, Inc. N/A -64.00000000 NC USD -8000.00000000 -0.00048006212 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 290.00000000 USD 2023-03-17 XXXX 5225.34000000 N N N N/A N/A HCA Healthcare, Inc. N/A -65.00000000 NC USD -7800.00000000 -0.00046806057 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 320.00000000 USD 2023-06-16 XXXX 21362.35000000 N N N Wheaton Precious Metals Corp. 549300XSFG5ZCGVYD886 Wheaton Precious Metals Corp. 962879102 235189.00000000 NS USD 10757544.86000000 0.645536235085 Long EC CORP CA N 1 N N N Northern Trust Corp. 549300GLF98S992BC502 Northern Trust Corp., Series E 665859856 101453.00000000 NS USD 2318201.05000000 0.139110066233 Long EP CORP US N 1 N N N Teleflex, Inc. UUL85LWXB4NGSWWXIQ25 Teleflex, Inc. 879369AF3 2919000.00000000 PA USD 2786805.79000000 0.167229989835 Long DBT CORP US N 2 2027-11-15 Fixed 4.62500000 N N N N N N Shimano, Inc. 529900L32YT3P9DECR10 Shimano, Inc. N/A 24700.00000000 NS 4404886.31000000 0.264327387107 Long EC CORP JP N 2 N N N Becton Dickinson and Co. ICE2EP6D98PQUILVRZ91 Becton Dickinson and Co. 075887109 32527.00000000 NS USD 8203959.94000000 0.492301308651 Long EC CORP US N 1 N N N Charles River Laboratories International, Inc. 549300BSQ0R4UZ5KX287 Charles River Laboratories International, Inc. 159864AG2 1522000.00000000 PA USD 1355622.19000000 0.081347859211 Long DBT CORP US Y 2 2029-03-15 Fixed 3.75000000 N N N N N N N/A N/A Philip Morris International, Inc. 00C9Z1G19 -155.00000000 NC USD -6975.00000000 -0.00041855416 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Philip Morris International, Inc. Philip Morris International, Inc. 100.00000000 120.00000000 USD 2023-06-16 XXXX 2892.36000000 N N N Republic of Italy 815600DE60799F5A9309 Republic of Italy 465410BX5 3300000.00000000 PA USD 3124717.20000000 0.187507298667 Long DBT NUSS IT N 2 2024-10-17 Fixed 2.37500000 N N N N N N Imperial Oil Ltd. 549300JZNB745JT5WY51 Imperial Oil Ltd. 453038408 254278.00000000 NS 13897332.80000000 0.833947895193 Long EC CORP CA N 1 N N N Great Eagle Holdings Ltd. 529900V6LG3TC9XC5S67 Great Eagle Holdings Ltd. N/A 1662774.00000000 NS 3993224.51000000 0.239624482127 Long EC CORP BM N 2 N N N MS&AD Insurance Group Holdings, Inc. 529900CXROT5S2HMMP26 MS&AD Insurance Group Holdings, Inc. N/A 264800.00000000 NS 8493120.15000000 0.509653166880 Long EC CORP JP N 2 N N N Caledonia Investments plc 2138002FX1MYCA5ZZH32 Caledonia Investments plc N/A 310700.00000000 NS 13777191.32000000 0.826738473370 Long RF GB N 2 N N N MetLife, Inc. C4BXATY60WC6XEOZDX54 MetLife, Inc., Series A 59156R504 128986.00000000 NS USD 3051808.76000000 0.183132226058 Long EP CORP US N 1 N N N Grupo Mexico SAB de CV 529900JWLZAYET2ZGW20 Grupo Mexico SAB de CV, Series B N/A 1669959.00000000 NS 7426375.65000000 0.445640212504 Long EC CORP MX N 1 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bonds 912810FB9 13267400.00000000 PA USD 14695200.31000000 0.881826142061 Long DBT UST US N 2 2027-11-15 Fixed 6.12500000 N N N N N N Entergy Corp. 4XM3TW50JULSLG8BNC79 Entergy Corp. 29366GP13 2143000.00000000 PA USD 2142729.81000000 0.128580429117 Long STIV CORP US Y 2 2023-02-01 None 0.00000000 N N N N N N N/A N/A Exxon Mobil Corp. 00CA7H860 -134.00000000 NC USD -14070.00000000 -0.00084430926 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 125.00000000 USD 2023-03-17 XXXX 12791.12000000 N N N CK Asset Holdings Ltd. 5299006GJZSGP78B8S35 CK Asset Holdings Ltd. N/A 2333500.00000000 NS 14919256.74000000 0.895271267891 Long EC CORP KY N 2 N N N N/A N/A Forward Foreign Currency Contract N/A 1.00000000 NC N/A -23044.80000000 -0.00138286696 N/A DFE N/A N 2 Goldman Sachs Bank KD3XUN7C6T14HNAYLU02 1946000.00000000 GBP 2380016.38000000 USD 2023-04-19 -23044.80000000 N N N Schindler Holding AG 5299007DRLI319H7Q933 Schindler Holding AG N/A 61668.00000000 NS 13143755.45000000 0.788727401884 Long EC CORP CH N 2 N N N Sylvamo Corp. 5493001AOYU1ZOWOC971 Sylvamo Corp. 87133LAA8 2234000.00000000 PA USD 2136061.44000000 0.128180275131 Long DBT CORP US Y 2 2029-09-01 Fixed 7.00000000 N N N N N N N/A N/A Elevance Health, Inc. N/A -31.00000000 NC USD -83452.00000000 -0.00500776809 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Elevance Health, Inc. Elevance Health, Inc. 100.00000000 510.00000000 USD 2023-06-16 XXXX 37359.73000000 N N N Fomento Economico Mexicano SAB de CV 549300A8MDWDJNMLV153 Fomento Economico Mexicano SAB de CV 344419106 167196.00000000 NS USD 14679808.80000000 0.880902531930 Long EC CORP MX N 1 N N N Lamb Weston Holdings, Inc. 5493005SMYID1D2OY946 Lamb Weston Holdings, Inc. 513272AD6 1583000.00000000 PA USD 1426678.75000000 0.085611804639 Long DBT CORP US Y 2 2030-01-31 Fixed 4.12500000 N N N N N N Federative Republic of Brazil 254900ZFY40OYEADAP90 Notas do Tesouro Nacional N/A 21000000.00000000 PA 3982251.64000000 0.238966024711 Long DBT NUSS BR N 2 2025-01-01 Fixed 10.00000000 N N N N N N N/A N/A Exxon Mobil Corp. 00CA7H8A1 -129.00000000 NC USD -387.00000000 -0.00002322300 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 145.00000000 USD 2023-03-17 XXXX 10561.09000000 N N N Weyerhaeuser Co. 08IRJODWFYBI7QWRGS31 Weyerhaeuser Co. 962166104 129131.00000000 NS USD 4445980.33000000 0.266793347445 Long EC CORP US N 1 N N N Nutrien Ltd. 5493002QQ7GD21OWF963 Nutrien Ltd. 67077M108 28543.00000000 NS USD 2363074.97000000 0.141802849926 Long EC CORP CA N 1 N N N Travelers Cos., Inc. (The) 549300Y650407RU8B149 Travelers Cos., Inc. (The) 89417E109 15.00000000 NS USD 2866.80000000 0.000172030263 Long EC CORP US N 1 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 912828YX2 9210000.00000000 PA USD 8563501.19000000 0.513876575862 Long DBT UST US N 2 2026-12-31 Fixed 1.75000000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 912828YY0 16847000.00000000 PA USD 16088226.96000000 0.965418559357 Long DBT UST US N 2 2024-12-31 Fixed 1.75000000 N N N N N N N/A N/A Fidelity National Information Services, Inc. 00CA66YX7 -208.00000000 NC USD -11440.00000000 -0.00068648884 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Fidelity National Information Services, Inc. Fidelity National Information Services, Inc. 100.00000000 90.00000000 USD 2023-04-21 XXXX 12617.10000000 N N N Franco-Nevada Corp. N/A Franco-Nevada Corp. 351858105 32962.00000000 NS USD 4835525.40000000 0.290169076866 Long EC CORP CA N 1 N N N General Dynamics Corp. 9C1X8XOOTYY2FNYTVH06 General Dynamics Corp. 369550108 7297.00000000 NS USD 1700638.82000000 0.102051536423 Long EC CORP US N 1 N N N Imola Merger Corp. N/A Imola Merger Corp. 45258LAA5 3133000.00000000 PA USD 2725710.00000000 0.163563767963 Long DBT CORP US Y 2 2029-05-15 Fixed 4.75000000 N N N N N N Aircastle Ltd. 549300PNK8AKY3OIKP58 Aircastle Ltd. 00928QAR2 984000.00000000 PA USD 975479.88000000 0.058536368412 Long DBT CORP BM N 2 2023-09-25 Fixed 4.40000000 N N N N N N N/A N/A HCA Healthcare, Inc. N/A -152.00000000 NC USD -287280.00000000 -0.01723903102 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 240.00000000 USD 2023-03-17 XXXX -60943.23000000 N N N Canpack SA N/A Canpack SA 13805AAA5 420000.00000000 PA USD 382410.00000000 0.022947569810 Long DBT CORP US Y 2 2025-11-01 Fixed 3.12500000 N N N N N N Iron Mountain, Inc. SQL3F6CKNNBM3SQGHX24 Iron Mountain, Inc. 46284VAE1 1005000.00000000 PA USD 955654.50000000 0.057346691647 Long DBT CORP US Y 2 2028-03-15 Fixed 5.25000000 N N N N N N Universal Health Services, Inc. 549300YGMGQDO0NMJD09 Universal Health Services, Inc., Class B 913903100 19258.00000000 NS USD 2854228.18000000 0.171275856840 Long EC CORP US N 1 N N N Mileage Plus Holdings LLC N/A Mileage Plus Holdings LLC 599191AA1 4895608.50000000 PA USD 4946082.22000000 0.296803344654 Long DBT CORP US Y 2 2027-06-20 Fixed 6.50000000 N N N N N N FANUC Corp. 529900QTSW745LOKW705 FANUC Corp. N/A 36200.00000000 NS 6396167.00000000 0.383819692866 Long EC CORP JP N 2 N N N Cie Financiere Richemont SA 549300YIPGJ6UX2QPS51 Cie Financiere Richemont SA (Registered) N/A 144172.00000000 NS 22225170.44000000 1.333682827883 Long EC CORP CH N 2 N N N N/A N/A Exxon Mobil Corp. 00C9Z98Q6 -149.00000000 NC USD -6705.00000000 -0.00040235207 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 145.00000000 USD 2023-06-16 XXXX -199.53000000 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Inflation Linked Notes 912828B25 10540000.00000000 PA USD 13184836.32000000 0.791192573119 Long DBT UST US N 2 2024-01-15 Fixed 0.62500000 N N N N N N Industrivarden AB 549300TM1DLIQI3B3T37 Industrivarden AB, Class C N/A 436104.00000000 NS 11489016.54000000 0.689430216521 Long EC CORP SE N 2 N N N PRA Group, Inc. 549300Q5HW3JSSB86K27 PRA Group, Inc. 69354NAC0 1200000.00000000 PA USD 1189901.65000000 0.071403339819 Long DBT CORP US Y 2 2025-09-01 Fixed 7.37500000 N N N N N N Truist Financial Corp. 549300DRQQI75D2JP341 Truist Financial Corp., Series R 89832Q695 383073.00000000 NS USD 8504220.60000000 0.510319280087 Long EP CORP US N 1 N N N Orkla ASA 549300PZS8G8RG6RVZ52 Orkla ASA N/A 2098631.00000000 NS 15667785.94000000 0.940188832996 Long EC CORP NO N 2 N N N Enterprise Products Partners LP K4CDIF4M54DJZ6TB4Q48 Enterprise Products Partners LP 293792107 1203180.00000000 NS USD 30801408.00000000 1.848323684857 Long US N 1 N N N Magellan Midstream Partners LP MZF5TI8NFVZZNUSKDL39 Magellan Midstream Partners LP 559080106 595232.00000000 NS USD 31785388.80000000 1.907370174488 Long US N 1 N N N Royal Gold, Inc. 5493001NGRU6SFL04184 Royal Gold, Inc. 780287108 78566.00000000 NS USD 9980238.98000000 0.598891845699 Long EC CORP US N 1 N N N United Mexican States 254900EGTWEU67VP6075 Mex Bonos Desarr Fix Rt N/A 68770000.00000000 PA 3570795.65000000 0.214275469929 Long DBT NUSS MX N 2 2023-12-07 Fixed 7.99999920 N N N N N N Sodexo SA 969500LCBOG12HXPYM84 Sodexo SA N/A 102398.00000000 NS 10151001.88000000 0.609138945850 Long EC CORP FR N 2 N N N Linde plc 8945002PAZHZLBGKGF02 Linde plc N/A 6853.00000000 NS USD 2267931.82000000 0.136093522041 Long EC CORP IE N 1 N N N Aramark Services, Inc. 42YMHYH0XMHJEXDUB065 Aramark Services, Inc. 038522AP3 2141000.00000000 PA USD 2108885.00000000 0.126549477677 Long DBT CORP US Y 2 2025-04-01 Fixed 5.00000000 N N N N N N KT&G Corp. 988400ZJV6ISYBLQX875 KT&G Corp. N/A 404136.00000000 NS 30314853.65000000 1.819126645258 Long EC CORP KR N 2 N N N Ambev SA 549300TH5Q6VRP8OT012 Ambev SA 02319V103 5387074.00000000 NS USD 14329616.84000000 0.859888294726 Long EC CORP BR N 1 N N N Republic of Korea 549300O0QCVSQGPGDT58 Republic of Korea N/A 4480550000.00000000 PA 3414601.51000000 0.204902608519 Long DBT NUSS KR N 2 2026-03-10 Fixed 1.25000000 N N N N N N N/A N/A Magellan Midstream Partners LP 00CA6BF17 -275.00000000 NC USD -2750.00000000 -0.00016502135 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Magellan Midstream Partners LP Magellan Midstream Partners LP 100.00000000 60.00000000 USD 2023-04-21 XXXX 13378.60000000 N N N Fresnillo plc 549300JXWH1UV5J0XV81 Fresnillo plc N/A 178369.00000000 NS 1811848.68000000 0.108724991682 Long EC CORP GB N 2 N N N N/A N/A Exxon Mobil Corp. 00C9SESB4 -161.00000000 NC USD -93380.00000000 -0.00560352519 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 120.00000000 USD 2023-06-16 XXXX -15937.27000000 N N N Investor AB 549300VEBQPHRZBKUX38 Investor AB, Class A N/A 639643.00000000 NS 12766371.66000000 0.766081443707 Long EC CORP SE N 2 N N N BAE Systems plc 8SVCSVKSGDWMW2QHOH83 BAE Systems plc N/A 807624.00000000 NS 8549550.09000000 0.513039401517 Long EC CORP GB N 2 N N N Medtronic plc 549300GX3ZBSQWUXY261 Medtronic plc N/A 49431.00000000 NS USD 4136880.39000000 0.248244950563 Long EC CORP IE N 1 N N N N/A N/A Comcast Corp. 00C8MQAC2 -434.00000000 NC USD -6293.00000000 -0.00037762887 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Comcast Corp. Comcast Corp. 100.00000000 50.00000000 USD 2023-06-16 XXXX 2674.02000000 N N N N/A N/A Wells Fargo & Co. 00CA6MYV6 -322.00000000 NC USD -5474.00000000 -0.00032848251 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Wells Fargo & Co. Wells Fargo & Co. 100.00000000 55.00000000 USD 2023-04-21 XXXX 26294.38000000 N N N N/A N/A Schlumberger Ltd. N/A -276.00000000 NC USD -828.00000000 -0.00004968643 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Schlumberger Ltd. Schlumberger Ltd. 100.00000000 70.00000000 USD 2023-02-17 XXXX 23481.74000000 N N N Pilgrim's Pride Corp. 549300ZSLGV64ZL3HD75 Pilgrim's Pride Corp. 72147KAF5 2699000.00000000 PA USD 2341382.50000000 0.140501133261 Long DBT CORP US Y 2 2031-04-15 Fixed 4.25000000 N N N N N N Cia Cervecerias Unidas SA 529900BJW9B0O6LI2R39 Cia Cervecerias Unidas SA 204429104 1180964.00000000 NS USD 18434848.04000000 1.106234048101 Long EC CORP CL N 1 N N N MSCI, Inc. 549300HTIN2PD78UB763 MSCI, Inc. 55354GAH3 2625000.00000000 PA USD 2388750.00000000 0.143343551119 Long DBT CORP US Y 2 2029-11-15 Fixed 4.00000000 N N N N N N US Bancorp N1GZ7BBF3NP8GI976H15 US Bancorp, Series B 902973155 140375.00000000 NS USD 2863650.00000000 0.171841239210 Long EP CORP US N 1 N N N Haw Par Corp. Ltd. N/A Haw Par Corp. Ltd. N/A 937200.00000000 NS 6991730.21000000 0.419558110631 Long EC CORP SG N 2 N N N Philip Morris International, Inc. HL3H1H2BGXWVG3BSWR90 Philip Morris International, Inc. 718172109 292773.00000000 NS USD 30518657.52000000 1.831356460206 Long EC CORP US N 1 N N N Kinder Morgan Energy Partners LP 549300PDHUGWPWGOT525 Kinder Morgan Energy Partners LP 494550BS4 2700000.00000000 PA USD 2674198.29000000 0.160472665321 Long DBT CORP US N 2 2024-02-01 Fixed 4.15000000 N N N N N N American Airlines, Inc. N/A American Airlines, Inc. 00253XAA9 4267833.00000000 PA USD 4183862.96000000 0.251064269632 Long DBT CORP US Y 2 2026-04-20 Fixed 5.50000000 N N N N N N Reckitt Benckiser Group plc 5493003JFSMOJG48V108 Reckitt Benckiser Group plc N/A 120054.00000000 NS 8555161.21000000 0.513376112293 Long EC CORP GB N 2 N N N Canpack SA N/A Canpack SA 13806CAA0 6197000.00000000 PA USD 5145926.83000000 0.308795573255 Long DBT CORP US Y 2 2029-11-15 Fixed 3.87500000 N N N N N N Comcast Corp. 51M0QTTNCGUN7KFCFZ59 Comcast Corp., Class A 20030N101 522212.00000000 NS USD 20549042.20000000 1.233102116610 Long EC CORP US N 1 N N N Daiwa Industries Ltd. N/A Daiwa Industries Ltd. N/A 269700.00000000 NS 2511173.86000000 0.150689933467 Long EC CORP JP N 2 N N N N/A N/A Exxon Mobil Corp. 00CA7H886 -141.00000000 NC USD -1692.00000000 -0.00010153314 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 135.00000000 USD 2023-03-17 XXXX 16781.51000000 N N N Embecta Corp. 549300RPG8GXVDHNXZ62 Embecta Corp. 29082KAB1 2292000.00000000 PA USD 2062318.68000000 0.123755136842 Long DBT CORP US Y 2 2030-02-15 Fixed 6.75000000 N N N N N N Mitsui & Co. USA, Inc. L12DDBYMZIFS8F833276 Mitsui & Co. USA, Inc. 60683KP15 1948000.00000000 PA USD 1947767.16000000 0.116881156030 Long STIV CORP US N 2 2023-02-01 None 0.00000000 N N N N N N Hysan Development Co. Ltd. 5299007BABFLKIH9HL03 Hysan Development Co. Ltd. N/A 1193083.00000000 NS 4014065.56000000 0.240875106979 Long EC CORP HK N 2 N N N US Bancorp N1GZ7BBF3NP8GI976H15 US Bancorp 902973304 308262.00000000 NS USD 15351447.60000000 0.921206075901 Long EC CORP US N 1 N N N Wells Fargo & Co. PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co. 949746101 229665.00000000 NS USD 10764398.55000000 0.645947509711 Long EC CORP US N 1 N N N N/A N/A Union Pacific Corp. N/A -65.00000000 NC USD -25805.00000000 -0.00154850040 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Union Pacific Corp. Union Pacific Corp. 100.00000000 220.00000000 USD 2023-05-19 XXXX 46256.36000000 N N N Nagaileben Co. Ltd. N/A Nagaileben Co. Ltd. N/A 9900.00000000 NS 149982.27000000 0.009000100967 Long EC CORP JP N 2 N N N Unilever plc 549300MKFYEKVRWML317 Unilever plc N/A 871901.00000000 NS 44263699.35000000 2.656165714502 Long EC CORP GB N 2 N N N N/A N/A Philip Morris International, Inc. 00CA4EYG9 -149.00000000 NC USD -2235.00000000 -0.00013411735 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Philip Morris International, Inc. Philip Morris International, Inc. 100.00000000 120.00000000 USD 2023-03-17 XXXX 1290.53000000 N N N N/A N/A Oracle Corp. N/A -187.00000000 NC USD -43010.00000000 -0.00258093401 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Oracle Corp. Oracle Corp. 100.00000000 87.50000000 USD 2023-02-17 XXXX -7731.05000000 N N N N/A N/A CH Robinson Worldwide, Inc. 00C9YSNM7 -178.00000000 NC USD -29370.00000000 -0.00176242808 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written CH Robinson Worldwide, Inc. CH Robinson Worldwide, Inc. 100.00000000 120.00000000 USD 2023-07-21 XXXX -15808.17000000 N N N N/A N/A Philip Morris International, Inc. 00C9Z1G27 -152.00000000 NC USD -3040.00000000 -0.00018242360 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Philip Morris International, Inc. Philip Morris International, Inc. 100.00000000 125.00000000 USD 2023-06-16 XXXX 862.03000000 N N N Delta Air Lines, Inc. N/A Delta Air Lines, Inc. 830867AA5 5641167.00000000 PA USD 5573818.63000000 0.334472404278 Long DBT CORP US Y 2 2025-10-20 Fixed 4.50000000 N N N N N N Arrow Electronics, Inc. 549300YNNLBXT8N8R512 Arrow Electronics, Inc. 04273MP15 1874000.00000000 PA USD 1873747.07000000 0.112439375788 Long STIV CORP US N 2 2023-02-01 None 0.00000000 N N N N N N General Motors Financial Co., Inc. 5493008B6JBRUJ90QL97 General Motors Financial Co., Inc. 37046UP13 4286000.00000000 PA USD 4285430.09000000 0.257159086206 Long STIV CORP US N 2 2023-02-01 None 0.00000000 N N N N N N Guoco Group Ltd. 3OIHUMDMI0Z4XVPQ8V78 Guoco Group Ltd. N/A 167700.00000000 NS 1545368.46000000 0.092734108987 Long EC CORP BM N 2 N N N State Street Corp. 549300ZFEEJ2IP5VME73 State Street Corp., Series G 857477855 57946.00000000 NS USD 1515287.90000000 0.090929041781 Long EP CORP US N 1 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 9128286Z8 14117000.00000000 PA USD 13578237.96000000 0.814799726691 Long DBT UST US N 2 2024-06-30 Fixed 1.75000000 N N N N N N GMexico Transportes SAB de CV 4469000001BXJ8FN4U73 GMexico Transportes SAB de CV N/A 359128.00000000 NS 778121.79000000 0.046693350322 Long EC CORP MX Y 1 N N N N/A N/A Boston Properties, Inc. 00CAC1EJ4 -463.00000000 NC USD -71765.00000000 -0.00430645732 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Boston Properties, Inc. Boston Properties, Inc. 100.00000000 85.00000000 USD 2023-07-21 XXXX -20139.28000000 N N N Power Corp. of Canada 549300BE2CB8T87IJV50 Power Corp. of Canada 739239101 916038.00000000 NS 24846726.11000000 1.490996527180 Long EC CORP CA N 1 N N N Haleon plc 549300PSB3WWEODCUP19 Haleon plc N/A 3403644.00000000 NS 13639709.92000000 0.818488521684 Long EC CORP GB N 2 N N N UOL Group Ltd. 254900O9PRCWTMR86R25 UOL Group Ltd. N/A 764200.00000000 NS 4077442.44000000 0.244678211966 Long EC CORP SG N 2 N N N N/A N/A Walmart, Inc. 00CABUHU3 -99.00000000 NC USD -99.00000000 -0.00000594076 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Walmart, Inc. Walmart, Inc. 100.00000000 165.00000000 USD 2023-02-17 XXXX 12354.10000000 N N N Analog Devices, Inc. GYVOE5EZ4GDAVTU4CQ61 Analog Devices, Inc. 032654105 37082.00000000 NS USD 6358450.54000000 0.381556412358 Long EC CORP US N 1 N N N N/A N/A Kraft Heinz Co. (The) 00CA6HUM1 -407.00000000 NC USD -31339.00000000 -0.00188058337 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Kraft Heinz Co. (The) Kraft Heinz Co. (The) 100.00000000 42.50000000 USD 2023-04-21 XXXX -9499.14000000 N N N Schlumberger Ltd. 213800ZUA17OK3QLGM62 Schlumberger Ltd. 806857108 168227.00000000 NS USD 9585574.46000000 0.575208909520 Long EC CORP CW N 1 N N N DT Midstream, Inc. N/A DT Midstream, Inc. 23345MAA5 2910000.00000000 PA USD 2553525.00000000 0.153231330768 Long DBT CORP US Y 2 2029-06-15 Fixed 4.12500000 N N N N N N Colgate-Palmolive Co. YMEGZFW4SBUSS5BQXF88 Colgate-Palmolive Co. 194162103 283242.00000000 NS USD 21110026.26000000 1.266765516833 Long EC CORP US N 1 N N N Service Corp. International 549300RKVM2ME20JHZ15 Service Corp. International 817565CD4 699000.00000000 PA USD 664537.71000000 0.039877423424 Long DBT CORP US N 2 2027-12-15 Fixed 4.62500000 N N N N N N Ball Corp. 0BGI85ALH27ZJP15DY16 Ball Corp. 058498AY2 752000.00000000 PA USD 775575.20000000 0.046540535145 Long DBT CORP US N 2 2028-03-15 Fixed 6.87500000 N N N N N N Mandarin Oriental International Ltd. 213800KQ1UMKZ1JXJR80 Mandarin Oriental International Ltd. N/A 1047200.00000000 NS USD 1972143.68000000 0.118343936539 Long EC CORP BM N 2 N N N Itausa SA N/A Itausa SA (Preference) N/A 3990855.00000000 NS 6706064.09000000 0.402415924938 Long EC CORP BR N 1 N N N N/A N/A Bank of New York Mellon Corp. (The) 00CAFPGY3 -328.00000000 NC USD -26240.00000000 -0.00157460378 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Bank of New York Mellon Corp. (The) Bank of New York Mellon Corp. (The) 100.00000000 60.00000000 USD 2023-09-15 XXXX -2079.47000000 N N N VICI Properties LP N/A VICI Properties LP 92564RAF2 1586000.00000000 PA USD 1582683.17000000 0.094973281375 Long DBT CORP US Y 2 2024-05-01 Fixed 5.62500000 N N N N N N JP Morgan U.S. Government Money Market Fund N/A JP Morgan U.S. Government Money Market Fund, Capital Shares N/A 6454.63000000 NS USD 6454.63000000 0.000387327926 Long STIV RF US N 1 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 912828ZU7 7865200.00000000 PA USD 7736161.56000000 0.464229772912 Long DBT UST US N 2 2023-06-15 Fixed 0.25000000 N N N N N N Pilgrim's Pride Corp. 549300ZSLGV64ZL3HD75 Pilgrim's Pride Corp. 72147KAE8 3343000.00000000 PA USD 3317225.47000000 0.199059289893 Long DBT CORP US Y 2 2027-09-30 Fixed 5.87500000 N N N N N N Wells Fargo & Co. PBLD0EJDB5FWOLXP3B76 Wells Fargo & Co., Series L 949746804 11123.00000000 NS USD 13992622.77000000 0.839666033418 Long EP CORP US N 1 N N N N/A N/A Coca-Cola Femsa SAB de CV 00CAE3QP1 -226.00000000 NC USD -23165.00000000 -0.00139007990 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Coca-Cola Femsa SAB de CV Coca-Cola Femsa SAB de CV 100.00000000 90.00000000 USD 2023-08-18 XXXX -14427.63000000 N N N N/A N/A Forward Foreign Currency Contract N/A 1.00000000 NC N/A -41912.27000000 -0.00251506169 N/A DFE N/A N 2 JP Morgan Chase Bank 7H6GLXDRUGQFU57RNE97 3294000.00000000 EUR 3561387.16000000 USD 2023-05-17 -41912.27000000 N N N N/A N/A Forward Foreign Currency Contract N/A 1.00000000 NC N/A -160881.71000000 -0.00965415201 N/A DFE N/A N 2 Bank of New York WFLLPEPC7FZXENRZV188 3461000.00000000 EUR 3611345.84000000 USD 2023-03-15 -160881.71000000 N N N HCA, Inc. L3CJ6J7LJ2DX62FTXD46 HCA, Inc. 404119CA5 1588000.00000000 PA USD 1423368.67000000 0.085413174132 Long DBT CORP US N 2 2030-09-01 Fixed 3.50000000 N N N N N N N/A N/A Bank of New York Mellon Corp. (The) 00CAFPGZ0 -329.00000000 NC USD -9047.50000000 -0.00054292026 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Bank of New York Mellon Corp. (The) Bank of New York Mellon Corp. (The) 100.00000000 65.00000000 USD 2023-09-15 XXXX -933.95000000 N N N United Mexican States 254900EGTWEU67VP6075 Mex Bonos Desarr Fix Rt N/A 56800000.00000000 PA 2731726.93000000 0.163924830490 Long DBT NUSS MX N 2 2026-03-05 Fixed 5.74999920 N N N N N N Charles Schwab Corp. (The) 549300VSGCJ7E698NM85 Charles Schwab Corp. (The), Series D 808513600 46239.00000000 NS USD 1162910.85000000 0.069783682208 Long EP CORP US N 1 N N N Mexico Remittances Funding Fiduciary Estate Management Sarl 54930007WQ6S3GFCM563 Mexico Remittances Funding Fiduciary Estate Management Sarl 593035AA6 13186000.00000000 PA USD 12165433.80000000 0.730020505202 Long DBT CORP LU Y 3 2028-01-15 Fixed 4.87500000 N N N N N N N/A N/A Fidelity National Information Services, Inc. 00CAD6M87 -221.00000000 NC USD -4420.00000000 -0.00026523432 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Fidelity National Information Services, Inc. Fidelity National Information Services, Inc. 100.00000000 90.00000000 USD 2023-02-17 XXXX 7438.99000000 N N N United Airlines Pass-Through Trust N/A United Airlines Pass-Through Trust, Series 2020-1, Class A 90931GAA7 3127543.43000000 PA USD 3164714.28000000 0.189907434086 Long DBT CORP US N 2 2027-10-15 Fixed 5.87500000 N N N N N N Jardine Matheson Holdings Ltd. 2138009KENVUNWOLPK41 Jardine Matheson Holdings Ltd. N/A 601900.00000000 NS USD 31994348.44000000 1.919909375676 Long EC CORP BM N 2 N N N N/A N/A CH Robinson Worldwide, Inc. N/A -170.00000000 NC USD -6375.00000000 -0.00038254950 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written CH Robinson Worldwide, Inc. CH Robinson Worldwide, Inc. 100.00000000 125.00000000 USD 2023-05-19 XXXX -1502.61000000 N N N Republic of Colombia 549300MHDRBVRF6B9117 Republic of Colombia 195325DR3 2690000.00000000 PA USD 2094505.34000000 0.125686586404 Long DBT NUSS CO N 2 2030-01-30 Fixed 3.00000000 N N N N N N USS Co. Ltd. 5299000RRQD6UZXG4W72 USS Co. Ltd. N/A 214900.00000000 NS 3534712.46000000 0.212110198305 Long EC CORP JP N 2 N N N SEG Holding LLC N/A SEG Holding LLC 78397KAA0 5461000.00000000 PA USD 5162542.70000000 0.309792654494 Long DBT CORP US Y 2 2028-10-15 Fixed 5.62500000 N N N N N N N/A N/A Texas Instruments, Inc. 00CA6K9W6 -90.00000000 NC USD -720.00000000 -0.00004320559 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Texas Instruments, Inc. Texas Instruments, Inc. 100.00000000 230.00000000 USD 2023-04-21 XXXX 2029.60000000 N N N N/A N/A UGI Corp. 00CADY5V4 -399.00000000 NC USD -31920.00000000 -0.00191544789 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written UGI Corp. UGI Corp. 100.00000000 40.00000000 USD 2023-02-17 XXXX -4524.56000000 N N N Truist Financial Corp. 549300DRQQI75D2JP341 Truist Financial Corp. 89832Q109 34610.00000000 NS USD 1709387.90000000 0.102576549168 Long EC CORP US N 1 N N N N/A N/A Exxon Mobil Corp. 00CA7H894 -141.00000000 NC USD -564.00000000 -0.00003384438 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 140.00000000 USD 2023-03-17 XXXX 12640.46000000 N N N N/A N/A Texas Instruments, Inc. 00CABGRL3 -87.00000000 NC USD -1740.00000000 -0.00010441351 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Texas Instruments, Inc. Texas Instruments, Inc. 100.00000000 195.00000000 USD 2023-02-17 XXXX 39989.62000000 N N N Secom Co. Ltd. 529900TYCL9N3E9PGE47 Secom Co. Ltd. N/A 227800.00000000 NS 13571370.64000000 0.814387634159 Long EC CORP JP N 2 N N N N/A N/A IDACORP, Inc. 00CA1UAK3 -128.00000000 NC USD -61440.00000000 -0.00368687714 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written IDACORP, Inc. IDACORP, Inc. 100.00000000 130.00000000 USD 2023-02-17 XXXX -43821.10000000 N N N N/A N/A Wells Fargo & Co. 00CACCGX7 -372.00000000 NC USD -23808.00000000 -0.00142866489 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Wells Fargo & Co. Wells Fargo & Co. 100.00000000 55.00000000 USD 2023-07-21 XXXX -5334.22000000 N N N N/A N/A HCA Healthcare, Inc. N/A -125.00000000 NC USD -353125.00000000 -0.02119024238 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 230.00000000 USD 2023-03-17 XXXX -221045.30000000 N N N Republic of Colombia 549300MHDRBVRF6B9117 Republic of Colombia N/A 19880400000.00000000 PA 3327580.26000000 0.199680657709 Long DBT NUSS CO N 2 2027-11-03 Fixed 5.75000000 N N N N N N N/A N/A CH Robinson Worldwide, Inc. N/A -170.00000000 NC USD -12750.00000000 -0.00076509901 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written CH Robinson Worldwide, Inc. CH Robinson Worldwide, Inc. 100.00000000 120.00000000 USD 2023-05-19 XXXX -3627.70000000 N N N N/A N/A CH Robinson Worldwide, Inc. 00C9YSNN5 -175.00000000 NC USD -14875.00000000 -0.00089261551 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written CH Robinson Worldwide, Inc. CH Robinson Worldwide, Inc. 100.00000000 125.00000000 USD 2023-07-21 XXXX -3734.44000000 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 9128285Z9 14953900.00000000 PA USD 14628535.89000000 0.877825759143 Long DBT UST US N 2 2024-01-31 Fixed 2.50000000 N N N N N N CenterPoint Energy, Inc. 21TPXMRRHFKOBHDC8J74 CenterPoint Energy, Inc. 1518T3P14 2104000.00000000 PA USD 2103733.55000000 0.126240350671 Long STIV CORP US N 2 2023-02-01 None 0.00000000 N N N N N N Spectrum Brands, Inc. 549300VU3EH2E73C1Q04 Spectrum Brands, Inc. 84762LAU9 1520000.00000000 PA USD 1507336.73000000 0.090451909832 Long DBT CORP US N 2 2025-07-15 Fixed 5.75000000 N N N N N N Bank of New York Mellon Corp. (The) WFLLPEPC7FZXENRZV188 Bank of New York Mellon Corp. (The) 064058100 336334.00000000 NS USD 17008410.38000000 1.020636710735 Long EC CORP US N 1 N N N N/A N/A Ross Stores, Inc. N/A -183.00000000 NC USD -429135.00000000 -0.02575143267 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Ross Stores, Inc. Ross Stores, Inc. 100.00000000 100.00000000 USD 2023-05-19 XXXX -237754.00000000 N N N N/A N/A Texas Instruments, Inc. 00CA6K8F4 -87.00000000 NC USD -4002.00000000 -0.00024015107 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Texas Instruments, Inc. Texas Instruments, Inc. 100.00000000 210.00000000 USD 2023-04-21 XXXX 29288.81000000 N N N Hongkong Land Holdings Ltd. 213800XCHYNRPAYGXW28 Hongkong Land Holdings Ltd. N/A 2123300.00000000 NS USD 10380336.62000000 0.622900811272 Long EC CORP BM N 2 N N N Aramark Intermediate HoldCo Corp. 42YMHYH0XMHJEXDUB065 Aramark Intermediate HoldCo Corp., Term Loan B3 03852JAL5 1500000.00000000 PA USD 1488435.00000000 0.089317659240 Long LON CORP US N 2 2025-03-11 Variable 6.31971000 N N N N N N N/A N/A Exxon Mobil Corp. 00CABVA20 -144.00000000 NC USD -13824.00000000 -0.00082954735 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 120.00000000 USD 2023-02-17 XXXX 814.97000000 N N N Boston Properties, Inc. 549300OF70FSEUQBT254 Boston Properties, Inc. 101121101 116979.00000000 NS USD 8719614.66000000 0.523244596445 Long EC CORP US N 1 N N N Nestle SA KY37LUS27QQX7BB93L28 Nestle SA (Registered) N/A 302470.00000000 NS 36904079.67000000 2.214531378628 Long EC CORP CH N 2 N N N HCA, Inc. L3CJ6J7LJ2DX62FTXD46 HCA, Inc. 404119BS7 1449000.00000000 PA USD 1474958.78000000 0.088508981383 Long DBT CORP US N 2 2026-02-15 Fixed 5.87500000 N N N N N N HCA Healthcare, Inc. 529900PH4ZGUH2MNEU89 HCA Healthcare, Inc. 40412C101 86699.00000000 NS USD 22114313.93000000 1.327030576368 Long EC CORP US N 1 N N N Equity Residential 5493008RACSH5EP3PI59 Equity Residential 29476L107 282147.00000000 NS USD 17958656.55000000 1.077658860581 Long EC CORP US N 1 N N N Elevance Health, Inc. 8MYN82XMYQH89CTMTH67 Elevance Health, Inc. 036752103 15305.00000000 NS USD 7652346.95000000 0.459200245405 Long EC CORP US N 1 N N N Roller Bearing Co. of America, Inc. 254900U9XW6S76H2P167 Roller Bearing Co. of America, Inc. 775631AD6 2635000.00000000 PA USD 2374319.45000000 0.142477606051 Long DBT CORP US Y 2 2029-10-15 Fixed 4.37500000 N N N N N N IHO Verwaltungs GmbH 529900JL0HDVGZMUJF32 IHO Verwaltungs GmbH 80627DAC0 3879000.00000000 PA USD 3548043.72000000 0.212910177436 Long DBT CORP DE Y 2 2026-09-15 Fixed 4.75000000 N N Y N N N N/A N/A Kraft Heinz Co. (The) 00CACB3Q8 -381.00000000 NC USD -4953.00000000 -0.00029721846 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Kraft Heinz Co. (The) Kraft Heinz Co. (The) 100.00000000 50.00000000 USD 2023-07-21 XXXX 9776.81000000 N N N Gold bullion N/A Gold bullion N/A 56394.77300000 OU Ounces USD 108732506.03000000 6.524794782406 Long COMM US N 2 N N N Union Pacific Corp. 549300LMMRSZZCZ8CL11 Union Pacific Corp. 907818108 6543.00000000 NS USD 1336015.17000000 0.080171285742 Long EC CORP US N 1 N N N Douglas Emmett, Inc. N/A Douglas Emmett, Inc. 25960P109 331773.00000000 NS USD 5557197.75000000 0.333475022400 Long EC CORP US N 1 N N N Iron Mountain, Inc. SQL3F6CKNNBM3SQGHX24 Iron Mountain, Inc. 46284VAJ0 3609000.00000000 PA USD 3265928.46000000 0.195981070919 Long DBT CORP US Y 2 2030-07-15 Fixed 5.25000000 N N N N N N ACCO Brands Corp. JCT8P4Y190IH4I1NX328 ACCO Brands Corp. 00081TAK4 7408000.00000000 PA USD 6408327.44000000 0.384549413704 Long DBT CORP US Y 2 2029-03-15 Fixed 4.25000000 N N N N N N IDACORP, Inc. N134NUJDWN8UEFA8B673 IDACORP, Inc. 451107106 45166.00000000 NS USD 4779014.46000000 0.286777981600 Long EC CORP US N 1 N N N Edgewell Personal Care Co. 549300CY8QZDL4Z3RU59 Edgewell Personal Care Co. 28035QAA0 1770000.00000000 PA USD 1676207.70000000 0.100585479490 Long DBT CORP US Y 2 2028-06-01 Fixed 5.50000000 N N N N N N N/A N/A Colgate-Palmolive Co. N/A -196.00000000 NC USD -3920.00000000 -0.00023523044 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Colgate-Palmolive Co. Colgate-Palmolive Co. 100.00000000 90.00000000 USD 2023-05-19 XXXX 7577.45000000 N N N N/A N/A Philip Morris International, Inc. 00C9Z1G35 -149.00000000 NC USD -2980.00000000 -0.00017882314 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Philip Morris International, Inc. Philip Morris International, Inc. 100.00000000 130.00000000 USD 2023-06-16 XXXX 1290.52000000 N N N N/A N/A HCA Healthcare, Inc. N/A -47.00000000 NC USD -174135.00000000 -0.01044945233 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 220.00000000 USD 2023-03-17 XXXX -105203.99000000 N N N N/A N/A Exxon Mobil Corp. 00CA7H878 -134.00000000 NC USD -4824.00000000 -0.00028947746 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 130.00000000 USD 2023-03-17 XXXX 13486.78000000 N N N Coca-Cola Femsa SAB de CV 5493008KEVFYPMGTXO33 Coca-Cola Femsa SAB de CV 191241108 229375.00000000 NS USD 17473787.50000000 1.048562952070 Long EC CORP MX N 1 N N N AMN Healthcare, Inc. 549300H27NUKBFFQEE84 AMN Healthcare, Inc. 00175PAB9 2959000.00000000 PA USD 2744709.22000000 0.164703868711 Long DBT CORP US Y 2 2027-10-01 Fixed 4.62500000 N N N N N N Sompo Holdings, Inc. 353800CWW4SRGEYEB512 Sompo Holdings, Inc. N/A 123400.00000000 NS 5312232.70000000 0.318775216992 Long EC CORP JP N 2 N N N N/A N/A Exxon Mobil Corp. 00CABVA46 -138.00000000 NC USD -414.00000000 -0.00002484321 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Exxon Mobil Corp. Exxon Mobil Corp. 100.00000000 130.00000000 USD 2023-02-17 XXXX 12235.05000000 N N N Wendel SE 969500M98ZMIZYJD5O34 Wendel SE N/A 26895.00000000 NS 2847859.99000000 0.170893715984 Long EC CORP FR N 2 N N N N/A N/A Taiwan Semiconductor Manufacturing Co. Ltd. 00CABU4A1 -181.00000000 NC USD -7240.00000000 -0.00043445622 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Taiwan Semiconductor Manufacturing Co. Ltd. Taiwan Semiconductor Manufacturing Co. Ltd. 100.00000000 100.00000000 USD 2023-02-17 XXXX 12246.33000000 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 91282CBC4 17607700.00000000 PA USD 15948724.52000000 0.957047329576 Long DBT UST US N 2 2025-12-31 Fixed 0.37500000 N N N N N N Samsung Electronics Co. Ltd. 9884007ER46L6N7EI764 Samsung Electronics Co. Ltd. (Preference) N/A 157978.00000000 NS 7089119.43000000 0.425402220159 Long EC CORP KR N 2 N N N WESCO Distribution, Inc. 549300I2CEZJG9N4AH67 WESCO Distribution, Inc. 95081QAP9 2136000.00000000 PA USD 2188708.60000000 0.131339513590 Long DBT CORP US Y 2 2028-06-15 Fixed 7.25000000 N N N N N N N/A N/A Forward Foreign Currency Contract N/A 1.00000000 NC N/A -45928.54000000 -0.00275606908 N/A DFE N/A N 2 JP Morgan Chase Bank 7H6GLXDRUGQFU57RNE97 2172000.00000000 GBP 2637624.67000000 USD 2023-05-17 -45928.54000000 N N N N/A N/A Elevance Health, Inc. N/A -29.00000000 NC USD -6090.00000000 -0.00036544729 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Elevance Health, Inc. Elevance Health, Inc. 100.00000000 550.00000000 USD 2023-03-17 XXXX 26582.12000000 N N N Industrivarden AB 549300TM1DLIQI3B3T37 Industrivarden AB, Class A N/A 10611.00000000 NS 281089.10000000 0.016867528948 Long EC CORP SE N 2 N N N N/A N/A Texas Instruments, Inc. 00CA6K8G2 -92.00000000 NC USD -1564.00000000 -0.00009385214 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Texas Instruments, Inc. Texas Instruments, Inc. 100.00000000 220.00000000 USD 2023-04-21 XXXX 1256.82000000 N N N N/A N/A HCA Healthcare, Inc. N/A -135.00000000 NC USD -175500.00000000 -0.01053136293 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written HCA Healthcare, Inc. HCA Healthcare, Inc. 100.00000000 250.00000000 USD 2023-03-17 XXXX 2245.27000000 N N N N/A N/A Analog Devices, Inc. 00CABTCJ6 -99.00000000 NC USD -11137.50000000 -0.00066833649 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Analog Devices, Inc. Analog Devices, Inc. 100.00000000 230.00000000 USD 2023-09-15 XXXX -974.22000000 N N N General American Investors Co., Inc. 254900MHIF9G7IS1T951 General American Investors Co., Inc., Series B 368802401 4712.00000000 NS USD 122620.85000000 0.007358203277 Long EP CORP US N 1 N N N Agnico Eagle Mines Ltd. YGE0EUBRF7IJOB3QRX76 Agnico Eagle Mines Ltd. 008474108 16806.00000000 NS 949083.34000000 0.056952371015 Long EC CORP CA N 1 N N N Quinenco SA 2549000T5LJBJNWU8390 Quinenco SA N/A 2083758.00000000 NS 7249856.70000000 0.435047704651 Long EC CORP CL N 1 N N N BAT Capital Corp. 2138005GYEXN7XRHFA84 BAT Capital Corp. 05526DBJ3 2425000.00000000 PA USD 2284174.77000000 0.137068225184 Long DBT CORP US N 2 2026-09-06 Fixed 3.21500000 N N N N N N American Airlines, Inc. N/A American Airlines, Inc. 00253XAB7 502000.00000000 PA USD 485545.53000000 0.029136502564 Long DBT CORP US Y 2 2029-04-20 Fixed 5.75000000 N N N N N N FUCHS PETROLUB SE 529900SNF9E1P5ZO4P98 FUCHS PETROLUB SE (Preference) N/A 319659.00000000 NS 12752595.60000000 0.765254773122 Long EC CORP DE N 2 N N N Texas Instruments, Inc. WDJNR2L6D8RWOEB8T652 Texas Instruments, Inc. 882508104 80467.00000000 NS USD 14259557.07000000 0.855684164440 Long EC CORP US N 1 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Inflation Linked Notes 912828XL9 9475000.00000000 PA USD 11505426.24000000 0.690414925959 Long DBT UST US N 2 2025-07-15 Fixed 0.37500000 N N N N N N Fidelity National Information Services, Inc. 6WQI0GK1PRFVBA061U48 Fidelity National Information Services, Inc. 31620M106 58474.00000000 NS USD 4387888.96000000 0.263307414105 Long EC CORP US N 1 N N N Mitsubishi Electric Corp. 549300TRXM9Y6561AX39 Mitsubishi Electric Corp. N/A 76200.00000000 NS 839781.49000000 0.050393411173 Long EC CORP JP N 2 N N N Open Text Corp. 549300HP7ONDQODZJV16 Open Text Corp. 683715AC0 1106000.00000000 PA USD 961069.76000000 0.057671649302 Long DBT CORP CA Y 2 2028-02-15 Fixed 3.87500000 N N N N N N N/A N/A Philip Morris International, Inc. 00CAFLY63 -165.00000000 NC USD -10725.00000000 -0.00064358329 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Philip Morris International, Inc. Philip Morris International, Inc. 100.00000000 125.00000000 USD 2023-09-15 XXXX -1046.02000000 N N N Centene Corp. 549300Z7JJ4TQSQGT333 Centene Corp. 15135BAT8 450000.00000000 PA USD 427527.00000000 0.025654940190 Long DBT CORP US N 2 2029-12-15 Fixed 4.62500000 N N N N N N DCP Midstream Operating LP 549300Y6CTBSE0QIPL28 DCP Midstream Operating LP 26439XAH6 773000.00000000 PA USD 810830.62000000 0.048656134140 Long DBT CORP US Y 2 2036-11-03 Fixed 6.45000000 N N N N N N United Overseas Bank Ltd. IO66REGK3RCBAMA8HR66 United Overseas Bank Ltd. N/A 255500.00000000 NS 5807678.36000000 0.348505804241 Long EC CORP SG N 2 N N N Post Holdings, Inc. JM1I5YUAURL6DC8N1468 Post Holdings, Inc. 737446AM6 2867000.00000000 PA USD 2824224.36000000 0.169475394629 Long DBT CORP US Y 2 2027-03-01 Fixed 5.75000000 N N N N N N N/A N/A Wells Fargo & Co. 00CACCGW9 -355.00000000 NC USD -41890.00000000 -0.00251372531 N/A DE US N 1 Options Clearing 549300CII6SLYGKNHA04 Call Written Wells Fargo & Co. Wells Fargo & Co. 100.00000000 52.50000000 USD 2023-07-21 XXXX -13788.19000000 N N N Henkel AG & Co. KGaA 549300VZCL1HTH4O4Y49 Henkel AG & Co. KGaA (Preference) N/A 149355.00000000 NS 10649058.96000000 0.639026238580 Long EC CORP DE N 2 N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Notes 91282CED9 4180000.00000000 PA USD 3979000.77000000 0.238770947265 Long DBT UST US N 2 2025-03-15 Fixed 1.75000000 N N N N N N 2023-03-02 First Eagle Funds Tricia Larkin Tricia Larkin Treasurer XXXX NPORT-EX 2 tm238419d2_nportex.htm PART F

 

First Eagle Global Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
COMMON STOCKS - 80.1%          
           
Australia - 0.3%          
Newcrest Mining Ltd.   9,296,442    147,712,223 
           
Belgium - 1.2%          
Groupe Bruxelles Lambert NV   6,469,396    553,425,720 
           
Brazil - 1.9%          
Ambev SA, ADR   135,881,898    361,445,849 
Itausa SA (Preference)   113,282,546    190,355,202 
Wheaton Precious Metals Corp.   7,936,282    363,005,539 
         914,806,590 
Canada - 4.0%          
Agnico Eagle Mines Ltd.   2,298,700    129,814,226 
Barrick Gold Corp.   20,128,459    393,511,373 
Franco-Nevada Corp.   769,497    112,872,669 
Imperial Oil Ltd.   10,896,401    595,532,885 
Nutrien Ltd.   4,138,319    342,611,430 
Power Corp. of Canada   13,272,144    359,995,248 
         1,934,337,831 
China - 2.1%          
Alibaba Group Holding Ltd.*   34,738,392    477,606,654 
Prosus NV*   6,294,726    508,269,306 
         985,875,960 
France - 3.6%          
Danone SA   10,211,219    559,975,979 
Legrand SA   1,954,335    174,256,508 
LVMH Moet Hennessy Louis Vuitton SE   145,168    126,728,101 
Sanofi   4,031,951    394,826,688 
Sodexo SA   3,480,088    344,990,916 
Wendel SE   1,067,994    113,087,837 
         1,713,866,029 
Germany - 0.8%          
Brenntag SE   1,126,149    84,064,835 
Henkel AG & Co. KGaA (Preference)   4,137,100    294,976,545 
         379,041,380 
Hong Kong - 2.0%          
CK Asset Holdings Ltd.   37,986,500    242,867,086 
Guoco Group Ltd.   12,748,580    117,479,150 
Hongkong Land Holdings Ltd.   31,759,300    155,264,082 
Hysan Development Co. Ltd.   23,322,348    78,466,824 
Jardine Matheson Holdings Ltd.   7,051,271    374,814,456 
         968,891,598 
Ireland - 0.3%          
CRH plc   3,284,015    153,437,515 
           
Japan - 7.0%          
Chofu Seisakusho Co. Ltd. (a)   3,224,200    52,474,540 
FANUC Corp.   2,720,500    480,684,318 
Hirose Electric Co. Ltd.   1,258,915    163,890,961 
Hoshizaki Corp.   5,662,600    203,549,369 
Keyence Corp.   263,400    121,261,179 
Komatsu Ltd.   6,756,000    166,025,053 
Mitsubishi Electric Corp.   24,592,300    271,025,699 
Mitsubishi Estate Co. Ltd.   21,378,880    274,785,346 
MS&AD Insurance Group Holdings, Inc.   11,209,120    359,518,138 
Secom Co. Ltd.   6,337,130    377,539,684 
Shimano, Inc.   1,517,390    270,604,471 
SMC Corp.   442,156    224,575,898 
Sompo Holdings, Inc.   7,663,700    329,913,758 
T Hasegawa Co. Ltd. (a)   3,002,800    73,510,498 
USS Co. Ltd.   1,298,600    21,359,598 
         3,390,718,510 
Mexico - 1.3%          
Fomento Economico Mexicano SAB de CV, ADR   5,421,458    476,004,012 
Fresnillo plc   5,590,827    56,790,880 
Industrias Penoles SAB de CV*   6,401,020    91,223,161 
         624,018,053 
Norway - 0.2%          
Orkla ASA   15,778,116    117,794,955 
           
South Korea - 1.8%          
Hyundai Mobis Co. Ltd.   999,985    167,204,658 
KT&G Corp.*   5,242,098    393,217,713 
Lotte Confectionery Co. Ltd.*   161,797    15,783,061 
Lotte Corp.*   913,277    24,072,255 
Namyang Dairy Products Co. Ltd.   784    320,557 
NAVER Corp.   629,662    104,603,022 
Samsung Electronics Co. Ltd. (Preference)   3,025,981    135,788,152 
         840,989,418 
Sweden - 0.9%          
Investor AB, Class A   4,970,940    99,212,948 
Investor AB, Class B   11,255,824    218,723,050 
Svenska Handelsbanken AB, Class A   12,783,537    133,307,015 
         451,243,013 
Switzerland - 2.4%          
Cie Financiere Richemont SA (Registered)   5,088,998    784,506,339 
Schindler Holding AG   1,798,637    383,356,763 
         1,167,863,102 
Taiwan - 0.9%          
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   4,606,256    427,138,119 
           
Thailand - 0.5%          
Bangkok Bank PCL, NVDR   47,278,400    227,923,743 
           
United Kingdom - 5.5%          
BAE Systems plc   30,239,911    320,121,286 
Berkeley Group Holdings plc (a)   6,766,463    346,494,969 
British American Tobacco plc   19,154,797    734,276,606 
Lloyds Banking Group plc   437,703,164    284,855,398 
Reckitt Benckiser Group plc   4,483,021    319,464,302 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
Unilever plc   12,894,404    654,608,748 
         2,659,821,309 
United States - 43.4%          
Alphabet, Inc., Class A*   2,694,360    266,310,542 
Alphabet, Inc., Class C*   3,980,259    397,508,466 
American Express Co.   2,046,860    358,057,220 
Analog Devices, Inc.   2,464,848    422,647,487 
Bank of New York Mellon Corp. (The)   11,504,615    581,788,381 
Becton Dickinson & Co.   1,130,197    285,058,287 
Berkshire Hathaway, Inc., Class A*   728    344,343,927 
Boston Properties, Inc., REIT   2,546,846    189,841,901 
Brown & Brown, Inc.   3,486,931    204,194,679 
CH Robinson Worldwide, Inc. (a)   7,426,526    743,915,109 
Charles Schwab Corp. (The)   2,951,646    228,516,433 
Colgate-Palmolive Co.   7,218,573    538,000,246 
Comcast Corp., Class A   21,961,227    864,174,282 
Cummins, Inc.   1,455,755    363,269,103 
Deere & Co.   381,724    161,408,176 
Dentsply Sirona, Inc.   6,900,950    254,161,988 
Douglas Emmett, Inc., REIT   8,215,068    137,602,389 
DR Horton, Inc.   1,069,118    105,511,255 
Elevance Health, Inc.   1,258,041    629,007,920 
Equity Residential, REIT   5,273,527    335,659,994 
Expeditors International of Washington, Inc.   1,875,971    202,886,264 
Exxon Mobil Corp.   9,538,191    1,106,525,538 
Fidelity National Financial, Inc.   1,180,125    51,960,904 
Fidelity National Information Services, Inc.   1,678,512    125,955,540 
Flowserve Corp. (a)   7,892,216    271,650,075 
GSK plc   7,314,932    128,487,063 
Haleon plc*   68,822,768    275,799,288 
HCA Healthcare, Inc.   3,109,934    793,250,865 
IPG Photonics Corp.* (a)   3,097,302    347,207,554 
J.G. Boswell Co.   2,485    2,060,065 
Kraft Heinz Co. (The)   4,471,740    181,239,622 
Medtronic plc   1,421,609    118,974,457 
Meta Platforms, Inc., Class A*   4,124,147    614,374,179 
Microsoft Corp.   1,584,979    392,773,646 
Mills Music Trust (a)   31,592    1,211,553 
Nestle SA (Registered)   3,086,462    376,576,320 
Newmont Corp.   7,901,033    418,201,677 
NOV, Inc. (a)   26,905,276    657,564,945 
Oracle Corp.   14,601,623    1,291,659,571 
Philip Morris International, Inc.   6,664,841    694,743,026 
PPG Industries, Inc.   853,547    111,251,316 
Ross Stores, Inc.   2,633,277    311,227,009 
Royal Gold, Inc.   1,476,988    187,621,786 
RPM International, Inc.   174,428    15,682,821 
Salesforce, Inc.*   1,385,077    232,651,384 
Schlumberger Ltd.   19,905,698    1,134,226,672 
Texas Instruments, Inc.   2,333,362    413,495,080 
Travelers Cos., Inc. (The)   1,003,263    191,743,625 
UGI Corp.   6,123,570    243,901,793 
Union Pacific Corp.   518,453    105,862,918 
Universal Health Services, Inc., Class B   3,368,166    499,195,883 
US Bancorp   6,565,740    326,973,852 
W.R. Berkley Corp.   2,267,622    159,051,007 
Walmart, Inc.   1,383,386    199,027,744 
Wells Fargo & Co.   6,275,140    294,115,812 
Weyerhaeuser Co., REIT   10,347,140    356,252,030 
Willis Towers Watson plc   2,553,725    649,131,358 
         20,895,492,027 
TOTAL COMMON STOCKS
(Cost $26,444,964,255)
        38,554,397,095 

 

Investments  Ounces   Value ($) 
COMMODITIES - 11.1%          
           
Gold bullion*
(Cost $2,902,970,315)
   2,764,801    5,330,702,334 

 

Investments  Principal
Amount ($)
  Value ($) 
FOREIGN GOVERNMENT SECURITIES - 1.0%          
           
Colombia - 0.2%          
Titulos de Tesoreria          
Series B, 5.75%, 11/3/2027  COP 504,289,700,000   84,407,982 
           
Indonesia - 0.1%          
Republic of Indonesia          
8.38%, 3/15/2024  IDR 853,795,000,000   58,456,194 
           
Mexico - 0.4%          
Mex Bonos Desarr Fix Rt          
Series M, 8.00%, 12/7/2023  MXN 911,940,000   47,351,336 
Series M 20, 10.00%, 12/5/2024  MXN 816,590,000   43,464,158 
Series M, 5.75%, 3/5/2026  MXN 1,813,230,000   87,205,092 
         178,020,586 
Peru - 0.1%          
Republic of Peru          
8.20%, 8/12/2026 (b)  PEN 221,343,000   59,383,917 
           
South Korea - 0.2%          
Republic of Korea          
1.25%, 3/10/2026  KRW 158,937,690,000   121,125,504 
TOTAL FOREIGN GOVERNMENT SECURITIES
(Cost 573,462,545)
        501,394,183 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Principal
Amount ($)
   Value ($) 
CORPORATE BONDS - 0.0% (c)          
           
United States - 0.0% (c)          
Bausch & Lomb, Inc.          
7.13%, 8/1/2028‡
(Cost $5,115,830)
   5,467,000    4,961,302 

 

Investments  Principal Amount ($)   Value ($) 
SHORT-TERM INVESTMENTS - 7.6%          
           
COMMERCIAL PAPER - 7.6%          
Arrow Electronics, Inc.          
4.80%, 2/1/2023 (d)   17,703,000    17,700,611 
BP Capital Markets plc          
4.35%, 2/1/2023 (d)   83,658,000    83,647,830 
4.51%, 2/13/2023 (d)   97,000,000    96,839,923 
4.60%, 3/22/2023 (d)   20,000,000    19,871,306 
CenterPoint Energy, Inc.          
4.50%, 2/1/2023 (d)   19,876,000    19,873,483 
Engie SA          
4.66%, 2/15/2023 (d)   65,500,000    65,374,431 
4.61%, 2/22/2023 (d)   47,572,000    47,436,613 
4.61%, 2/23/2023 (d)   50,000,000    49,851,363 
4.69%, 3/23/2023 (d)   69,800,000    69,338,215 
4.71%, 4/25/2023 (d)   37,950,000    37,492,728 
4.71%, 4/26/2023 (d)   100,000,000    98,776,236 
Entergy Corp.          
4.50%, 2/1/2023 (b)(d)   20,244,000    20,241,448 
Export Development Canada          
4.35%, 2/7/2023 (d)   80,000,000    79,930,934 
4.42%, 2/16/2023 (d)   75,000,000    74,851,467 
4.32%, 2/21/2023 (d)   25,000,000    24,934,900 
4.45%, 3/14/2023 (d)   88,821,000    88,345,985 
4.61%, 4/4/2023 (d)   50,000,000    49,593,300 
4.68%, 4/19/2023 (d)   68,000,000    67,316,668 
FMS Wertmanagement          
4.40%, 3/8/2023 (d)   100,000,000    99,546,200 
General Motors Financial Co., Inc.          
4.75%, 2/1/2023 (d)   40,486,000    40,480,617 
Henkel US Operations Corp.          
4.35%, 3/10/2023 (d)   50,000,000    49,760,547 
Hydro-Quebec          
4.51%, 4/12/2023 (d)   53,089,000    52,622,338 
Johnson & Johnson          
4.38%, 3/15/2023 (b)(d)   10,000,000    9,945,904 
Kreditanstalt fuer Wiederaufbau          
4.08%, 2/17/2023 (b)(d)   50,000,000    49,897,221 
4.36%, 3/14/2023 (b)(d)   49,000,000    48,747,438 
4.57%, 3/29/2023 (d)   44,500,000    44,186,249 
4.55%, 4/3/2023 (b)(d)   116,147,000    115,253,461 
4.69%, 5/3/2023 (d)   72,125,000    71,283,582 
Linde, Inc.          
4.23%, 2/9/2023 (d)   50,000,000    49,944,462 
LVMH Moet Hennessy Louis Vuitton SE          
4.15%, 2/3/2023 (b)(d)   49,475,000    49,456,806 
LVMH Moet Hennessy Louis Vuitton, Inc.          
4.57%, 3/17/2023 (b)(d)   33,800,000    33,606,072 
Mitsui & Co. USA, Inc.          
4.31%, 2/1/2023 (d)   18,403,000    18,400,800 
Nederlandse Waterschapsbank NV          
4.46%, 3/15/2023 (b)(d)   70,453,000    70,066,489 
4.71%, 4/14/2023 (b)(d)   30,125,000    29,840,763 
NRW Bank          
4.34%, 3/7/2023 (b)(d)   97,500,000    97,077,988 
4.49%, 3/8/2023 (b)(d)   46,735,000    46,526,749 
4.34%, 3/9/2023 (b)(d)   105,740,000    105,255,299 
4.71%, 4/18/2023 (b)(d)   50,000,000    49,505,703 
4.70%, 4/21/2023 (b)(d)   64,804,000    64,136,807 
Oesterreichische Kontrollbank AG          
4.27%, 2/15/2023 (d)   63,000,000    62,882,557 
4.30%, 2/21/2023 (d)   100,000,000    99,738,433 
4.40%, 3/13/2023 (d)   139,500,000    138,785,063 
Oracle Corp.          
4.66%, 2/14/2023 (d)   71,550,000    71,418,944 
Philip Morris International, Inc.          
4.51%, 2/10/2023 (d)   50,500,000    50,435,879 
4.61%, 3/16/2023 (d)   81,260,000    80,794,299 
Province of Quebec          
4.31%, 2/8/2023 (b)(d)   25,000,000    24,975,322 
4.30%, 2/27/2023 (b)(d)   67,000,000    66,772,468 
4.36%, 3/1/2023 (b)(d)   75,000,000    74,725,165 
PSP Capital, Inc.          
4.37%, 2/6/2023 (b)(d)   50,000,000    49,963,050 
4.42%, 3/6/2023 (b)(d)   82,353,000    82,001,989 
4.67%, 4/20/2023 (b)(d)   50,000,000    49,492,864 
4.70%, 5/2/2023 (b)(d)   69,722,000    68,903,886 
Siemens Capital Co. LLC          
4.58%, 4/24/2023 (b)(d)   100,000,000    98,950,511 
Svensk Export Credit Corp.          
4.65%, 4/20/2023 (d)   50,000,000    49,497,143 
Svensk Exportkredit AB          
4.55%, 4/6/2023 (d)   93,444,000    92,678,524 
Unilever Capital Corp.          
4.58%, 4/13/2023 (b)(d)   50,000,000    49,540,200 
4.66%, 4/17/2023 (b)(d)   33,500,000    33,175,102 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Principal Amount ($)   Value ($) 
Walgreens Boots Alliance, Inc.          
4.65%, 2/1/2023 (b)(d)   61,097,000    61,089,127 
Walt Disney Co. (The)          
5.00%, 4/6/2023 (b)(d)   54,692,000    54,223,434 
4.98%, 4/28/2023 (b)(d)   75,000,000    74,128,006 
TOTAL COMMERCIAL PAPER
(Cost $3,641,982,976)
        3,641,130,902 
           
U.S. TREASURY OBLIGATIONS - 0.0% (c)          
U.S. Treasury Bills          
4.30%, 3/2/2023 (d)(e)   15,200,000    15,145,910 
4.58%, 4/27/2023 (d)(e)   15,000,000    14,840,731 
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $29,987,437)
        29,986,641 

 

Investments  Shares   Value ($) 
INVESTMENT COMPANIES - 0.0% (c)          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (f)
(Cost $221,835)
   221,835    221,835 
TOTAL SHORT-TERM INVESTMENTS
(Cost $3,672,192,248)
        3,671,339,378 
           
Total Investments - 99.8%
 (Cost $33,598,705,193)
        48,062,794,292 
Other assets less liabilities - 0.2%        60,786,973 
Net Assets - 100.0%        48,123,581,265 

 

* Non-income producing security.
Value determined using significant unobservable inputs.
(a) Affiliated company as defined under the Investment Company Act of 1940.
(b) Securities exempt from registration under Rule 144A or section 4(a)2 of the Securities Act of 1933. Total value of all such securities at January 31, 2023 amounted to $1,636,883,189, which represents approximately 3.40% of net assets of the Fund.
(c) Represents less than 0.05% of net assets.
(d) The rate shown was the current yield as of January 31, 2023.
(e) All or a portion of this security is pledged with the custodian for current or potential holdings of forward foreign currency exchange contracts.
(f) Represents 7-day effective yield as of January 31, 2023.

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Forward Foreign Currency Exchange Contracts outstanding as of January 31, 2023  

 

Currency Purchased  Currency Sold  Counterparty  Settlement
Date
  Unrealized
Appreciation
(Depreciation) ($)
 
USD 90,017,016  EUR 86,475,000  UBS AG  2/15/2023   (4,074,007)
USD 90,231,474  EUR 86,475,000  Bank of New York Mellon  3/15/2023   (4,019,718)
USD 99,350,499  EUR 93,436,000  Goldman Sachs  4/19/2023   (2,706,355)
USD 84,667,921  GBP 69,228,000  Goldman Sachs  4/19/2023   (819,808)
USD 100,176,177  EUR 92,655,000  JPMorgan Chase Bank  5/17/2023   (1,178,926)
USD 93,506,952  GBP 77,000,000  JPMorgan Chase Bank  5/17/2023   (1,628,222)
Net unrealized depreciation      (14,427,036)

 

Abbreviations
ADR American Depositary Receipt
COP Colombian Peso
EUR Euro
Fix Rt Fixed Rate
GBP British Pound
IDR Indonesian Rupiah
KRW Korea (Rep.) Won
MXN Mexican Peso
NVDR Non-Voting Depositary Receipt
PEN Peruvian Sol
Preference A special type of equity investment that shares in the earnings of the company, has limited voting rights, and may have a dividend preference. Preference shares may also have liquidation preference.
REIT Real Estate Investment Trust
USD United States Dollar

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Aerospace & Defense   0.7%
Air Freight & Logistics   1.9 
Auto Components   0.4 
Banks   3.0 
Beverages   1.7 
Capital Markets   1.7 
Chemicals   1.1 
Commercial Services & Supplies   0.8 
Commodities   11.1 
Construction Materials   0.3 
Consumer Finance   0.7 
Diversified Financial Services   2.7 
Electrical Equipment   0.9 
Electronic Equipment, Instruments & Components   1.3 
Energy Equipment & Services   3.7 
Entertainment   0.0*
Equity Real Estate Investment Trusts (REITs)   2.1 
Food & Staples Retailing   0.4 
Food Products   2.6 
Foreign Government Securities   1.0 
Gas Utilities   0.5 
Health Care Equipment & Supplies   1.4 
Health Care Providers & Services   4.0 
Hotels, Restaurants & Leisure   0.7 
Household Durables   1.1 
Household Products   2.4 
Industrial Conglomerates   1.1 
Insurance   4.8 
Interactive Media & Services   2.9 
Internet & Direct Marketing Retail   2.1 
IT Services   0.3 
Leisure Products   0.6 
Machinery   4.7 
Media   1.8 
Metals & Mining   4.0 
Oil, Gas & Consumable Fuels   3.5 
Personal Products   1.9 
Pharmaceuticals   1.1 
Real Estate Management & Development   1.6 
Road & Rail   0.2 
Semiconductors & Semiconductor Equipment   2.6 
Software   4.0 
Specialty Retail   0.7 
Technology Hardware, Storage & Peripherals   0.3 
Textiles, Apparel & Luxury Goods   1.9 
Tobacco   3.7 
Trading Companies & Distributors   0.2 
Short-Term Investments   7.6 
Total Investments   99.8%

 

*  Less than 0.05%

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Affiliated Securities

 

Security Description  Shares at
January 31,
2023
   Market Value
October 31,
2022
   Purchases
at Cost
   Proceeds
from Sales
   Net
Realized
Gain (Loss)
   Change
in Unrealized
Appreciation/
(Depreciation)
   Market Value
January 31,
2023
   Dividend
Income
 
Common Stocks - 5.2%                                        
Japan - 0.3%                                        
Chofu Seisakusho Co. Ltd.   3,224,200   $44,031,237   $      -   $         -   $          -   $8,443,303   $52,474,540   $392,737 
T Hasegawa Co. Ltd.   3,002,800    63,875,515    -    -    -    9,634,983    73,510,498    38,968 
         107,906,752    -    -    -    18,078,286    125,985,038    431,705 
United Kingdom - 0.7%                                        
Berkeley Group Holdings plc   6,766,463    269,219,704    -    -    -    77,275,265    346,494,969    - 
United States - 4.2%                                        
CH Robinson Worldwide, Inc.   7,426,526    725,720,121    -    -    -    18,194,988    743,915,109    4,530,181 
Flowserve Corp.   7,892,216    226,348,755    -    -    -    45,301,320    271,650,075    1,578,443 
IPG Photonics Corp.*   3,097,302    265,314,889    -    -    -    81,892,665    347,207,554    - 
Mills Music Trust   31,592    1,200,812    -    -    -    10,741    1,211,553    20,688 
NOV, Inc.   26,905,276    602,678,182    -    -    -    54,886,763    657,564,945    1,345,264 
         1,821,262,759    -    -    -    200,286,477    2,021,549,236    7,474,576 
Total Common Stocks        2,198,389,215    -    -    -    295,640,028    2,494,029,243    7,906,281 
Total       $2,198,389,215   $-    -   $-   $295,640,028   $2,494,029,243   $7,906,281 

 

*  Non-income producing security.

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Overseas Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
COMMON STOCKS - 81.5%          
           
Australia - 0.3%          
Newcrest Mining Ltd.   2,048,366    32,546,720 
           
Belgium - 2.1%          
Groupe Bruxelles Lambert NV   2,922,262    249,985,462 
Legris Industries SE*‡ (a)(b)(c)   905,366    15,197,108 
         265,182,570 
Brazil - 3.0%          
Ambev SA, ADR   70,219,934    186,785,024 
Itausa SA (Preference)   52,187,137    87,693,060 
Wheaton Precious Metals Corp.   2,364,552    108,154,608 
         382,632,692 
Canada - 7.3%          
Agnico Eagle Mines Ltd.   717,589    40,524,323 
Barrick Gold Corp.   5,379,581    105,170,809 
Franco-Nevada Corp.   194,071    28,467,053 
Imperial Oil Ltd.   7,543,865    412,303,080 
Nutrien Ltd.   2,232,687    184,844,157 
Power Corp. of Canada   6,472,619    175,564,105 
         946,873,527 
Chile - 1.1%          
Cia Cervecerias Unidas SA, ADR (b)   9,392,572    146,618,049 
           
China - 3.1%          
Alibaba Group Holding Ltd.*   13,666,828    187,900,695 
Prosus NV*   2,487,528    200,856,102 
         388,756,797 
Faroe Islands - 0.4%          
Bakkafrost P/F   801,656    49,743,937 
           
France - 6.1%          
Danone SA   4,768,985    261,527,742 
Laurent-Perrier (b)   558,938    74,740,883 
Legrand SA   812,472    72,443,329 
LVMH Moet Hennessy Louis Vuitton SE   33,358    29,120,715 
Sanofi   1,679,882    164,501,564 
Sodexo SA   1,313,872    130,247,828 
Wendel SE   493,657    52,272,393 
         784,854,454 
Germany - 2.0%          
Brenntag SE   628,298    46,901,225 
FUCHS PETROLUB SE (Preference)   2,322,615    92,659,271 
Henkel AG & Co. KGaA (Preference)   1,698,517    121,104,802 
         260,665,298 
Hong Kong - 4.7%          
CK Asset Holdings Ltd.   19,475,000    124,513,617 
Great Eagle Holdings Ltd.   22,777,700    54,701,643 
Guoco Group Ltd.   7,806,340    71,936,026 
Hongkong Land Holdings Ltd.   15,883,500    77,650,863 
Hysan Development Co. Ltd.   17,500,405    58,879,200 
Jardine Matheson Holdings Ltd.   3,779,100    200,880,283 
         588,561,632 
Ireland - 0.5%          
CRH plc   1,432,866    66,947,136 
           
Japan - 15.2%          
As One Corp.   1,378,380    61,786,343 
Chofu Seisakusho Co. Ltd. (b)   1,829,100    29,768,991 
Daiichikosho Co. Ltd. (b)   2,866,280    89,122,052 
FANUC Corp.   1,220,740    215,692,180 
Hirose Electric Co. Ltd.   758,730    98,774,729 
Hoshizaki Corp.   2,554,200    91,813,972 
Kansai Paint Co. Ltd.   3,986,530    56,142,794 
Keyence Corp.   74,800    34,435,597 
Komatsu Ltd.   3,814,300    93,734,363 
Mitsubishi Electric Corp.   11,266,300    124,163,126 
Mitsubishi Estate Co. Ltd.   14,103,550    181,274,644 
MS&AD Insurance Group Holdings, Inc.   4,764,500    152,815,223 
Nagaileben Co. Ltd.   1,687,224    25,560,978 
Nihon Kohden Corp.   1,779,300    46,743,993 
Pilot Corp.   477,500    17,043,029 
Secom Co. Ltd.   3,010,200    179,335,118 
Shimano, Inc.   694,470    123,848,639 
SK Kaken Co. Ltd.   87,561    29,161,213 
SMC Corp.   208,990    106,148,321 
Sompo Holdings, Inc.   3,104,300    133,636,661 
T Hasegawa Co. Ltd.   1,906,436    46,670,794 
USS Co. Ltd.   560,300    9,215,911 
         1,946,888,671 
Mexico - 2.4%          
Fomento Economico Mexicano SAB de CV, ADR   2,613,173    229,436,589 
Fresnillo plc   1,426,722    14,492,453 
Grupo Mexico SAB de CV, Series B   6,905,948    30,711,032 
Industrias Penoles SAB de CV*   2,246,692    32,018,388 
         306,658,462 
Netherlands - 2.5%          
HAL Trust   631,823    87,020,809 
Shell plc   7,707,709    226,053,026 
         313,073,835 
Norway - 0.8%          
Orkla ASA   14,555,924    108,670,415 
           
Singapore - 1.7%          
Haw Par Corp. Ltd. (b)   19,447,213    145,080,737 
UOL Group Ltd.   14,128,300    75,382,531 
         220,463,268 
South Korea - 4.0%          
Fursys, Inc. (b)   872,463    21,018,152 
Hyundai Mobis Co. Ltd.   505,396    84,505,833 
KT&G Corp.*   2,451,893    183,920,209 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Overseas Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
Lotte Confectionery Co. Ltd.*   104,605    10,204,065 
Lotte Corp.*   772,717    20,367,359 
Namyang Dairy Products Co. Ltd.   450    183,993 
Namyang Dairy Products Co. Ltd. (Preference) (b)   10,783    2,199,105 
NAVER Corp.   258,729    42,981,529 
NongShim Co. Ltd.   203,663    56,786,087 
Samsung Electronics Co. Ltd. (Preference)   1,863,921    83,641,764 
         505,808,096 
Sweden - 2.5%          
Industrivarden AB, Class A   123,708    3,277,068 
Industrivarden AB, Class C   1,572,517    41,427,444 
Investor AB, Class A   1,982,447    39,566,844 
Investor AB, Class B   8,384,352    162,924,638 
L E Lundbergforetagen AB, Class B   63,109    2,922,405 
Svenska Handelsbanken AB, Class A   7,413,243    77,305,467 
         327,423,866 
Switzerland - 3.5%          
Cie Financiere Richemont SA (Registered)   1,949,803    300,576,423 
Schindler Holding AG   724,861    154,494,968 
         455,071,391 
Taiwan - 1.7%          
Taiwan Secom Co. Ltd.   8,545,694    28,660,277 
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   2,075,542    192,465,010 
         221,125,287 
Thailand - 1.0%          
Bangkok Bank PCL, NVDR   21,880,059    105,481,255 
Thai Beverage PCL   52,214,985    27,890,102 
         133,371,357 
Turkey - 0.4%          
AG Anadolu Grubu Holding A/S   9,784,125    47,336,038 
           
United Kingdom - 8.9%          
BAE Systems plc   13,135,620    139,054,363 
Berkeley Group Holdings plc   2,497,480    127,890,192 
British American Tobacco plc   7,639,941    292,868,149 
Great Portland Estates plc, REIT   3,302,520    23,187,260 
Lloyds Banking Group plc   200,709,184    130,620,702 
Reckitt Benckiser Group plc   2,246,129    160,061,270 
Unilever plc   5,122,575    260,057,185 
         1,133,739,121 
United States - 6.3%          
GSK plc   3,695,113    64,904,803 
Haleon plc*   26,953,694    108,013,813 
Nestle SA (Registered)   1,236,148    150,821,253 
Newmont Corp.   2,665,290    141,073,800 
Royal Gold, Inc.   454,973    57,795,220 
Willis Towers Watson plc   1,119,400    284,540,286 
         807,149,175 
TOTAL COMMON STOCKS
(Cost $7,881,074,937)
        10,440,161,794 

 

Investments  Ounces   Value ($) 
COMMODITIES - 10.9%          
           
Gold bullion*
(Cost $663,216,747)
   724,971    1,397,788,020 

 

Investments  Principal
Amount ($)
   Value ($) 
FOREIGN GOVERNMENT SECURITIES - 2.2%           
            
Colombia - 0.3%           
Titulos de Tesoreria           
Series B, 5.75%, 11/3/2027  COP 231,789,600,000    38,796,930 
            
Indonesia - 0.1%           
Republic of Indonesia           
8.38%, 3/15/2024  IDR 267,431,000,000    18,310,014 
            
Mexico - 0.6%           
Mex Bonos Desarr Fix Rt           
Series M, 8.00%, 12/7/2023  MXN 377,210,000    19,586,154 
Series M 20, 10.00%, 12/5/2024  MXN 388,030,000    20,653,446 
Series M, 5.75%, 3/5/2026  MXN 665,860,000    32,023,727 
          72,263,327 
Peru - 0.2%           
Republic of Peru           
8.20%, 8/12/2026 (d)  PEN 90,458,000    24,268,896 
            
Singapore - 0.6%           
Republic of Singapore           
1.25%, 11/1/2026  SGD 108,048,000    77,561,325 
            
South Korea - 0.4%           
Republic of Korea           
1.25%, 3/10/2026  KRW 59,926,230,000    45,669,437 
            
TOTAL FOREIGN GOVERNMENT SECURITIES
(Cost 304,851,892)
         276,869,929 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Overseas Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Principal
Amount ($)
   Value ($) 
SHORT-TERM INVESTMENTS - 4.1%          
           
COMMERCIAL PAPER - 3.9%          
Arrow Electronics, Inc.          
4.80%, 2/1/2023 (e)   17,803,000    17,800,597 
CenterPoint Energy, Inc.          
4.50%, 2/1/2023 (e)   19,986,000    19,983,469 
Entergy Corp.          
4.50%, 2/1/2023 (e)(d)   20,356,000    20,353,433 
Export Development Canada          
4.45%, 3/14/2023 (e)   6,179,000    6,145,955 
4.61%, 4/6/2023 (e)   50,000,000    49,580,479 
General Motors Financial Co., Inc.          
4.75%, 2/1/2023 (e)   40,713,000    40,707,586 
Hydro-Quebec          
4.51%, 4/12/2023 (e)   21,911,000    21,718,398 
Kreditanstalt fuer Wiederaufbau          
4.51%, 4/3/2023 (e)(d)   12,353,000    12,257,966 
4.69%, 5/3/2023 (e)   28,875,000    28,538,141 
Mitsui & Co. USA, Inc.          
4.31%, 2/1/2023 (e)   18,506,000    18,503,788 
NRW Bank          
4.49%, 3/8/2023 (e)(d)   3,265,000    3,250,451 
4.54%, 3/20/2023 (e)(d)   50,000,000    49,699,467 
4.54%, 3/21/2023 (e)   25,000,000    24,846,467 
4.70%, 4/21/2023 (e)(d)   35,196,000    34,833,637 
Oracle Corp.          
4.66%, 2/14/2023 (e)   20,000,000    19,963,367 
PSP Capital, Inc.          
4.42%, 3/6/2023 (e)(d)   17,647,000    17,571,783 
4.70%, 5/2/2023 (e)(d)   30,278,000    29,922,720 
Svensk Exportkredit AB          
4.55%, 4/6/2023 (e)   6,556,000    6,502,294 
Walgreens Boots Alliance, Inc.          
4.65%, 2/1/2023 (e)(d)   61,440,000    61,432,083 
TOTAL COMMERCIAL PAPER
(Cost $483,686,239)
        483,612,081 
           
U.S. TREASURY OBLIGATIONS - 0.2%          
U.S. Treasury Bills          
4.30%, 3/2/2023 (e)(f)   10,000,000    9,964,414 
4.58%, 4/27/2023 (e)   10,000,000    9,893,821 
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $19,858,765)
        19,858,235 

 

Investments  Shares   Value ($) 
INVESTMENT COMPANIES - 0.0% (g)          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (h)
(Cost $70,420)
   70,420    70,420 
TOTAL SHORT-TERM INVESTMENTS
(Cost $503,615,424)
        503,540,736 
           
Total Investments - 98.7%
(Cost $9,352,759,000)
        12,618,360,479 
Other assets less liabilities - 1.3%        170,174,555 
Net Assets - 100.0%        12,788,535,034 

 

* Non-income producing security.
Value determined using significant unobservable inputs.
(a) Security fair valued as of January 31, 2023 in accordance with procedures approved by the Board of Trustees. Total value of all such securities at January 31, 2023 amounted to $15,197,108, which represents approximately 0.12% of net assets of the Fund.
(b) Affiliated company as defined under the Investment Company Act of 1940.
(c) Represents a security that is subject to legal or contractual restrictions on resale.

 

Restricted Securities  Acquisition Date  Cost   Carrying Value
Per
Share/Principal
 
Legris Industries SE  04/30/04  $23,433,066   $16.79 

 

(d) Securities exempt from registration under Rule 144A or section 4(a)2 of the Securities Act of 1933. Total value of all such securities at January 31, 2023 amounted to $253,590,436, which represents approximately 1.98% of net assets of the Fund.
(e) The rate shown was the current yield as of January 31, 2023.
(f) All or a portion of this security is pledged with the custodian for current or potential holdings of forward foreign currency exchange contracts.
(g) Represents less than 0.05% of net assets.
(h) Represents 7-day effective yield as of January 31, 2023.

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Overseas Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Forward Foreign Currency Exchange Contracts outstanding as of January 31, 2023  

 

Currency Purchased  Currency Sold  Counterparty  Settlement
Date
  Unrealized
Appreciation
(Depreciation) ($)
 
USD 52,707,969  EUR 50,634,000  UBS AG  2/15/2023   (2,385,467)
USD 52,833,541  EUR 50,634,000  Bank of New York Mellon  3/15/2023   (2,353,680)
USD 51,030,957  EUR 47,993,000  Goldman Sachs  4/19/2023   (1,390,108)
USD 33,289,654  GBP 27,219,000  Goldman Sachs  4/19/2023   (322,331)
USD 49,509,120  EUR 45,792,000  JPMorgan Chase Bank  5/17/2023   (582,649)
USD 39,340,925  GBP 32,396,000  JPMorgan Chase Bank  5/17/2023   (685,037)
Net unrealized depreciation      (7,719,272)

 

Abbreviations
ADR American Depositary Receipt
COP Colombian Peso
EUR Euro
Fix Rt Fixed Rate
GBP British Pound
IDR Indonesian Rupiah
KRW Korea (Rep.) Won
MXN Mexican Peso
NVDR Non-Voting Depositary Receipt
PEN Peruvian Sol
Preference A special type of equity investment that shares in the earnings of the company, has limited voting rights, and may have a dividend preference. Preference shares may also have liquidation preference.
REIT Real Estate Investment Trust
SGD Singapore Dollar
USD United States Dollar

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Overseas Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Aerospace & Defense   1.1%
Auto Components   0.7 
Banks   3.1 
Beverages   5.2 
Chemicals   3.2 
Commercial Services & Supplies   1.9 
Commodities   10.9 
Construction Materials   0.5 
Diversified Financial Services   5.0 
Electrical Equipment   1.5 
Electronic Equipment, Instruments & Components   1.0 
Entertainment   0.7 
Equity Real Estate Investment Trusts (REITs)   0.2 
Food Products   5.0 
Foreign Government Securities   2.2 
Health Care Equipment & Supplies   0.6 
Health Care Providers & Services   0.5 
Hotels, Restaurants & Leisure   1.0 
Household Durables   1.2 
Household Products   2.2 
Industrial Conglomerates   2.7 
Insurance   5.8 
Interactive Media & Services   0.3 
Internet & Direct Marketing Retail   3.1 
Leisure Products   1.0 
Machinery   5.3 
Metals & Mining   4.6 
Oil, Gas & Consumable Fuels   5.0 
Personal Products   2.8 
Pharmaceuticals   2.9 
Real Estate Management & Development   4.5 
Semiconductors & Semiconductor Equipment   1.5 
Specialty Retail   0.1 
Technology Hardware, Storage & Peripherals   0.7 
Textiles, Apparel & Luxury Goods   2.5 
Tobacco   3.7 
Trading Companies & Distributors   0.4 
Short-Term Investments   4.1 
Total Investments   98.7%

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Overseas Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Affiliated Securities

 

Security Description  Shares at
January 31,
2023
   Market
Value
October 31,
2022
   Purchases at
Cost
   Proceeds from
Sales
   Net
Realized
Gain
(Loss)
   Change in
Unrealized
Appreciation/
(Depreciation)
   Market
Value
January 31,
2023
   Dividend
Income
 
Common Stocks — 4.1%                                        
Belgium — 0.1%                                        
Legris Industries SE*‡ (a)(b)   905,366   $14,924,062   $          –   $        –   $         –   $273,046   $15,197,108   $ 
Chile — 1.1%                                        
Cia Cervecerias Unidas SA ADR   9,392,572    101,533,703                45,084,346    146,618,049    2,211,543 
France — 0.6%                                        
Laurent-Perrier   558,938    54,469,274                20,271,609    74,740,883     
Japan — 0.9%                                        
Chofu Seisakusho Co. Ltd.   1,829,100    24,979,077                4,789,914    29,768,991    222,801 
Daiichikosho Co. Ltd.   2,866,280    82,184,041                6,938,011    89,122,052     
         107,163,118                11,727,925    118,891,043    222,801 
Singapore — 1.2%                                        
Haw Par Corp. Ltd.   19,447,213    129,829,745                15,250,992    145,080,737     
South Korea — 0.2%                                        
Fursys, Inc.   872,463    16,775,972                4,242,180    21,018,152    632,434 
Namyang Dairy Products Co. Ltd. (Preference)   10,783    2,237,746        (1,005,812)   939,253    27,918    2,199,105    10,871 
         19,013,718        (1,005,812)   939,253    4,270,098    23,217,257    643,305 
                                         
Total Common Stocks        426,933,620        (1,005,812)   939,253    96,878,016    523,745,077    3,077,649 
Total       $426,933,620   $   $(1,005,812)  $939,253   $96,878,016   $523,745,077   $3,077,649 

 

*Non-income producing security.
Value determined using significant unobservable inputs.
(a)Security fair valued as of January 31, 2023 in accordance with procedures approved by the Board of Trustees. Total value of all such securities at January 31, 2023 amounted to $15,197,108, which represents approximately 0.12% of net assets of the Fund.
(b)Represents a security that is subject to legal or contractual restrictions on resale.

 

  

 

 

First Eagle U.S. Value Fund

Consolidated Schedule of Investments

January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
COMMON STOCKS - 74.4%          
           
Aerospace & Defense - 1.1%          
Aerojet Rocketdyne Holdings, Inc.*   240,464    13,446,747 
           
Air Freight & Logistics - 3.5%          
CH Robinson Worldwide, Inc.   330,334    33,089,557 
Expeditors International of Washington, Inc.   94,942    10,267,977 
         43,357,534 
Banks - 2.3%          
US Bancorp   345,798    17,220,740 
Wells Fargo & Co.   235,971    11,059,961 
         28,280,701 
Capital Markets - 3.5%          
Bank of New York Mellon Corp. (The)   602,359    30,461,295 
Charles Schwab Corp. (The)   153,075    11,851,066 
         42,312,361 
Chemicals - 1.5%          
Nutrien Ltd. (Canada)   158,929    13,157,732 
PPG Industries, Inc.   37,210    4,849,951 
RPM International, Inc.   6,621    595,294 
         18,602,977 
Consumer Finance - 1.2%          
American Express Co.   82,555    14,441,346 
           
Diversified Financial Services - 1.5%          
Berkshire Hathaway, Inc., Class A*   38    17,973,996 
           
Electronic Equipment, Instruments & Components - 1.6%          
IPG Photonics Corp.*   172,551    19,342,967 
           
Energy Equipment & Services - 4.2%          
NOV, Inc.   999,361    24,424,383 
Schlumberger Ltd.   471,530    26,867,779 
         51,292,162 
Equity Real Estate Investment Trusts (REITs) - 3.5%          
Boston Properties, Inc.   104,410    7,782,721 
Douglas Emmett, Inc.   344,416    5,768,968 
Equity Residential   241,230    15,354,290 
Weyerhaeuser Co.   401,701    13,830,565 
         42,736,544 
Food & Staples Retailing - 0.7%          
Walmart, Inc.   58,370    8,397,692 
           
Food Products - 0.7%          
Kraft Heinz Co. (The)   206,681    8,376,781 
           
Gas Utilities - 0.8%          
UGI Corp.   242,612    9,663,236 
           
Health Care Equipment & Supplies - 2.4%          
Becton Dickinson & Co.   44,564    11,239,932 
Dentsply Sirona, Inc.   350,379    12,904,459 
Medtronic plc   57,220    4,788,742 
         28,933,133 
Health Care Providers & Services - 7.9%          
Elevance Health, Inc.   63,028    31,513,370 
HCA Healthcare, Inc.   157,427    40,154,905 
Universal Health Services, Inc., Class B   170,425    25,258,689 
         96,926,964 
Household Durables - 0.3%          
DR Horton, Inc.   40,545    4,001,386 
           
Household Products - 2.3%          
Colgate-Palmolive Co.   376,279    28,044,074 
           
Insurance - 3.8%          
Brown & Brown, Inc.   197,669    11,575,497 
Fidelity National Financial, Inc.   45,593    2,007,460 
Travelers Cos., Inc. (The)   47,615    9,100,179 
W.R. Berkley Corp.   88,177    6,184,735 
Willis Towers Watson plc   67,171    17,074,196 
         45,942,067 
Interactive Media & Services - 4.8%          
Alphabet, Inc., Class A*   145,960    14,426,687 
Alphabet, Inc., Class C*   167,497    16,727,925 
Meta Platforms, Inc., Class A*   181,732    27,072,616 
         58,227,228 
IT Services - 0.4%          
Fidelity National Information Services, Inc.   63,699    4,779,973 
           
Machinery - 3.3%          
Cummins, Inc.   73,903    18,441,755 
Deere & Co.   20,543    8,686,402 
Flowserve Corp.   378,708    13,035,129 
         40,163,286 
Media - 3.0%          
Comcast Corp., Class A   920,308    36,214,120 
           
Metals & Mining - 3.3%          
Agnico Eagle Mines Ltd. (Canada)   82,024    4,632,132 
Barrick Gold Corp. (Canada)   522,110    10,207,251 
Franco-Nevada Corp. (Canada)   21,527    3,157,660 
Newcrest Mining Ltd. (Australia)   236,346    3,755,328 
Newmont Corp.   252,516    13,365,672 
Royal Gold, Inc.   38,764    4,924,191 
         40,042,234 
Oil, Gas & Consumable Fuels - 3.0%          
Exxon Mobil Corp.   317,531    36,836,771 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle U.S. Value Fund

Consolidated Schedule of Investments

January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
Road & Rail - 0.4%          
Union Pacific Corp.   24,414    4,985,095 
           
Semiconductors & Semiconductor Equipment - 3.5%          
Analog Devices, Inc.   126,112    21,624,424 
Texas Instruments, Inc.   119,213    21,125,736 
         42,750,160 
Software - 5.7%          
Microsoft Corp.   89,751    22,241,196 
Oracle Corp.   425,031    37,598,242 
Salesforce, Inc.*   61,730    10,368,788 
         70,208,226 
Specialty Retail - 1.0%          
Ross Stores, Inc.   100,220    11,845,002 
           
Tobacco - 3.2%          
Philip Morris International, Inc.   372,296    38,808,135 
           
TOTAL COMMON STOCKS
(Cost $519,462,536)
        906,932,898 

 

Investments  Ounces   Value ($) 
COMMODITIES - 11.4%          
           
Gold bullion*
(Cost $78,780,492)
   72,529    139,839,718 

 

Investments  Shares   Value ($) 
MASTER LIMITED PARTNERSHIPS - 2.8%          
           
Oil, Gas & Consumable Fuels - 2.8%          
Enterprise Products Partners LP   623,041    15,949,849 
Magellan Midstream Partners LP   337,252    18,009,257 
           
TOTAL MASTER LIMITED PARTNERSHIPS
(Cost $28,023,469)
        33,959,106 

 

Investments  Principal
Amount ($)
   Value ($) 
CONVERTIBLE PREFERRED STOCKS - 0.4%          
           
Banks - 0.4%          
Bank of America Corp.          
Series L, 7.25%, (a)
(Cost $5,693,463)
   4,250    5,287,850 
           
CORPORATE BONDS - 0.4%          
           
Diversified Financial Services - 0.3%          
Mexico Remittances Funding Fiduciary Estate Management Sarl (Mexico)          
4.88%, 1/15/2028‡ (b)   4,132,000    3,812,193 
           
Food Products - 0.1%          
Post Holdings, Inc.          
5.75%, 3/1/2027 (b)   666,000    656,063 
           
Health Care Equipment & Supplies - 0.0% (c)          
Bausch & Lomb, Inc.          
7.13%, 8/1/2028‡   600,000    544,500 
           
TOTAL CORPORATE BONDS
(Cost $4,697,005)
        5,012,756 

 

Investments  Principal
Amount ($)
   Value ($) 
SHORT-TERM INVESTMENTS - 10.6%          
           
COMMERCIAL PAPER - 9.8%          
Arrow Electronics, Inc.          
4.80%, 2/1/2023 (d)   3,936,000    3,935,469 
CenterPoint Energy, Inc.          
4.50%, 2/1/2023 (d)   4,419,000    4,418,440 
Entergy Corp.          
4.50%, 2/1/2023 (b)(d)   4,501,000    4,500,432 
General Motors Financial Co., Inc.          
4.75%, 2/1/2023 (d)   9,002,000    9,000,803 
Intel Corp.          
4.46%, 3/1/2023 (b)(d)   10,000,000    9,963,605 
Johnson & Johnson          
4.38%, 3/15/2023 (b)(d)   10,000,000    9,945,904 
MetLife Funding, Inc.          
4.25%, 2/16/2023 (d)   15,000,000    14,970,160 
Mitsui & Co. USA, Inc.          
4.31%, 2/1/2023 (d)   4,092,000    4,091,511 
Oracle Corp.          
4.97%, 3/13/2023 (b)(d)   10,000,000    9,945,629 
Philip Morris International, Inc.          
4.71%, 5/8/2023 (b)(d)   10,000,000    9,875,086 
Roche Holdings, Inc.          
4.67%, 4/21/2023 (b)(d)   10,000,000    9,897,556 
Walgreens Boots Alliance, Inc.          
4.65%, 2/1/2023 (b)(d)   13,585,000    13,583,249 
Walt Disney Co. (The)          
4.71%, 3/15/2023 (b)(d)   15,000,000    14,916,311 
TOTAL COMMERCIAL PAPER
(Cost $119,062,808)
        119,044,155 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle U.S. Value Fund

Consolidated Schedule of Investments

January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
INVESTMENT COMPANIES - 0.0% (c)          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (e)          
 (Cost $14,346)   14,346    14,346 

 

Investments  Principal
Amount ($)
   Value ($) 
U.S. TREASURY OBLIGATIONS - 0.8%          
U.S. Treasury Bills          
4.30%, 3/2/2023 (d)
(Cost $9,965,724)
   10,000,000    9,964,415 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $129,042,878)
        129,022,916 
           
Total Investments - 100.0%
 (Cost $765,699,843)
        1,220,055,244 
Liabilities in excess of other assets - 0.0% (c)        (519,337)
Net Assets - 100.0%        1,219,535,907 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle U.S. Value Fund

Consolidated Schedule of Investments

January 31, 2023 (unaudited)

 

* Non-income producing security.
Value determined using significant unobservable inputs.
(a) Perpetual security. The rate reflected was the rate in effect on January 31, 2023. The maturity date reflects the next call date.
(b) Securities exempt from registration under Rule 144A or section 4(a)2 of the Securities Act of 1933. Total value of all such securities at January 31, 2023 amounted to $87,096,028, which represents approximately 7.14% of net assets of the Fund.
(c) Represents less than 0.05% of net assets.
(d) The rate shown was the current yield as of January 31, 2023.
(e) Represents 7-day effective yield as of January 31, 2023.

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle U.S. Value Fund

Consolidated Schedule of Investments

January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Aerospace & Defense   1.1%
Air Freight & Logistics   3.6 
Banks   2.7 
Capital Markets   3.5 
Chemicals   1.5 
Commodities   11.4 
Consumer Finance   1.2 
Diversified Financial Services   1.8 
Electronic Equipment, Instruments & Components   1.6 
Energy Equipment & Services   4.2 
Equity Real Estate Investment Trusts (REITs)   3.5 
Food & Staples Retailing   0.7 
Food Products   0.7 
Gas Utilities   0.8 
Health Care Equipment & Supplies   2.4 
Health Care Providers & Services   7.9 
Household Durables   0.3 
Household Products   2.3 
Insurance   3.8 
Interactive Media & Services   4.8 
IT Services   0.4 
Machinery   3.3 
Media   3.0 
Metals & Mining   3.3 
Oil, Gas & Consumable Fuels   5.8 
Road & Rail   0.4 
Semiconductors & Semiconductor Equipment   3.5 
Software   5.7 
Specialty Retail   1.0 
Tobacco   3.2 
Short-Term Investments   10.6 
Total Investments   100.0%

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Gold Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
COMMON STOCKS - 79.2%          
           
Australia - 8.1%          
AngloGold Ashanti Ltd., ADR   2,677,961    56,290,740 
Newcrest Mining Ltd.   7,025,248    111,624,963 
Northern Star Resources Ltd.   2,042,973    18,203,972 
         186,119,675 
Brazil - 12.5%          
Wheaton Precious Metals Corp.   6,340,844    290,030,205 
           
Canada - 40.3%          
Agnico Eagle Mines Ltd.   1,939,024    109,502,284 
Alamos Gold, Inc., Class A   10,094,202    111,369,648 
B2Gold Corp.   27,617,461    109,386,359 
Barrick Gold Corp.   9,080,585    177,525,437 
Dundee Precious Metals, Inc. (a)   14,240,008    93,003,397 
Franco-Nevada Corp.   701,323    102,872,654 
Kinross Gold Corp.   4,330,528    20,093,650 
MAG Silver Corp.*   4,897,100    67,242,882 
Novagold Resources, Inc.* (a)   17,740,710    111,943,880 
Orla Mining Ltd.*   6,508,741    28,078,744 
         931,018,935 
Mexico - 2.7%          
Fresnillo plc   4,277,558    43,450,868 
Industrias Penoles SAB de CV*   1,403,600    20,003,191 
         63,454,059 
United States - 15.6%          
Newmont Corp.   4,699,082    248,722,410 
Royal Gold, Inc.   879,006    111,660,132 
         360,382,542 
TOTAL COMMON STOCKS
(Cost $1,187,787,617)
        1,831,005,416 

 

Investments  Ounces   Value ($) 
COMMODITIES - 17.8%          
           
Gold bullion*   156,473    301,689,764 
Silver bullion*   4,596,472    109,081,165 
TOTAL COMMODITIES
(Cost $228,806,160)
        410,770,929 

 

Investments  Number of
Rights
   Value ($) 
RIGHTS - 0.2%          
           
Canada - 0.2%          
Pan American Silver Corp., CVR, expiring 2/22/2029*
(Cost $45,973,716)
   6,835,667    4,340,649 

 

Investments  Principal
Amount ($)
   Value ($) 
SHORT-TERM INVESTMENTS - 1.9%          
           
COMMERCIAL PAPER - 1.9%          
Arrow Electronics, Inc.          
4.80%, 2/1/2023 (b)   4,389,000    4,388,408 
CenterPoint Energy, Inc.          
4.50%, 2/1/2023 (b)   4,927,000    4,926,376 
Entergy Corp.          
4.50%, 2/1/2023 (b)(c)   5,018,000    5,017,367 
General Motors Financial Co., Inc.          
4.75%, 2/1/2023 (b)   10,037,000    10,035,665 
Mitsui & Co. USA, Inc.          
4.31%, 2/1/2023 (b)   4,562,000    4,561,455 
Walgreens Boots Alliance, Inc.          
4.65%, 2/1/2023 (b)(c)   15,146,000    15,144,048 
TOTAL COMMERCIAL PAPER
(Cost $44,079,000)
        44,073,319 

 

Investments  Shares   Value ($) 
INVESTMENT COMPANIES - 0.0% (d)          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (e)
(Cost $51,714)
   51,714    51,714 
TOTAL SHORT-TERM INVESTMENTS
(Cost $44,130,714)
        44,125,033 
           
Total Investments - 99.1%
(Cost $1,506,698,207)
        2,290,242,027 
Other assets less liabilities - 0.9%        20,732,803 
Net Assets - 100.0%        2,310,974,830 

 

* Non-income producing security.
(a) Affiliated company as defined under the Investment Company Act of 1940.
(b) The rate shown was the current yield as of January 31, 2023.
(c) Securities exempt from registration under Rule 144A or section 4(a)2 of the Securities Act of 1933. Total value of all such securities at January 31, 2023 amounted to $20,161,415, which represents approximately 0.87% of net assets of the Fund.
(d) Represents less than 0.05% of net assets.
(e) Represents 7-day effective yield as of January 31, 2023.

 

Abbreviations
ADR American Depositary Receipt
CVR Contingent Value Rights

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Gold Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Commodities   17.8%
Metals & Mining   79.4 
Short-Term Investments   1.9 
Total Investments   99.1%

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Gold Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Affiliated Securities

 
Security Description  Shares at
January 31,
2023
   Market Value
October 31,
2022
   Purchases
at Cost
   Proceeds
from Sales
   Net Realized
Gain (Loss)
   Change in
Unrealized
Appreciation/
(Depreciation)
   Market Value
January 31,
2023
   Dividend
Income
 
Common Stock — 8.9%                                        
Canada — 8.9%                                        
Dundee Precious Metals, Inc.   14,240,008   $62,596,607   $2,015,396   $-   $-   $28,391,394   $93,003,397   $436,828 
Novagold Resources, Inc.*   17,740,710    83,460,385    -    (1,813,442)   (1,319,109)   31,616,046    111,943,880    - 
Total Common Stock       $146,056,992   $2,015,396   $(1,813,442)  $(1,319,109)  $60,007,440   $204,947,277   $436,828 
Total       $146,056,992   $2,015,396   $(1,813,442)  $(1,319,109)  $60,007,440   $204,947,277   $436,828 

 

* Non-income producing security.

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
COMMON STOCKS - 63.7%          
           
Belgium - 1.6%          
Groupe Bruxelles Lambert NV   311,546    26,651,262 
           
Brazil - 1.9%          
Ambev SA, ADR   5,387,074    14,329,617 
Itausa SA (Preference)   3,990,855    6,706,064 
Wheaton Precious Metals Corp.   235,189    10,757,545 
         31,793,226 
Canada - 3.3%          
Agnico Eagle Mines Ltd.   16,806    949,083 
Barrick Gold Corp.   90,496    1,769,197 
Franco-Nevada Corp.   42,649    6,255,913 
Franco-Nevada Corp.   32,962    4,835,525 
Imperial Oil Ltd.   254,278    13,897,333 
Nutrien Ltd.   28,543    2,363,075 
Power Corp. of Canada   916,038    24,846,726 
         54,916,852 
Chile - 1.5%          
Cia Cervecerias Unidas SA, ADR   1,180,964    18,434,848 
Quinenco SA   2,083,758    7,249,857 
         25,684,705 
France - 2.9%          
Danone SA   366,854    20,118,012 
Sanofi   151,208    14,806,964 
Sodexo SA   102,398    10,151,002 
Wendel SE   26,895    2,847,860 
         47,923,838 
Germany - 1.7%          
Brenntag SE   70,045    5,228,723 
FUCHS PETROLUB SE (Preference)   319,659    12,752,596 
Henkel AG & Co. KGaA (Preference)   149,355    10,649,059 
         28,630,378 
Hong Kong - 4.1%          
CK Asset Holdings Ltd.   2,333,500    14,919,257 
Great Eagle Holdings Ltd.   1,662,774    3,993,224 
Guoco Group Ltd.   167,700    1,545,368 
Hongkong Land Holdings Ltd.   2,123,300    10,380,337 
Hysan Development Co. Ltd.   1,193,083    4,014,066 
Jardine Matheson Holdings Ltd.   601,900    31,994,348 
Mandarin Oriental International Ltd.*   1,047,200    1,972,144 
         68,818,744 
Japan - 3.0%          
Daiwa Industries Ltd.   269,700    2,511,174 
FANUC Corp.   36,200    6,396,167 
Komatsu Ltd.   203,200    4,993,530 
Mitsubishi Electric Corp.   76,200    839,782 
MS&AD Insurance Group Holdings, Inc.   264,800    8,493,120 
Nagaileben Co. Ltd.   10,000    151,497 
Nohmi Bosai Ltd.   23,300    308,956 
Secom Co. Ltd.   227,800    13,571,371 
Shimano, Inc.   24,700    4,404,886 
Sompo Holdings, Inc.   123,400    5,312,233 
USS Co. Ltd.   214,900    3,534,712 
         50,517,428 
Mexico - 2.6%          
Bolsa Mexicana de Valores SAB de CV   403,523    875,169 
Coca-Cola Femsa SAB de CV, ADR (a)   229,375    17,473,787 
Fomento Economico Mexicano SAB de CV, ADR   167,196    14,679,809 
Fresnillo plc   178,369    1,811,849 
GMexico Transportes SAB de CV (b)   359,128    778,122 
Grupo Mexico SAB de CV, Series B   1,669,959    7,426,376 
         43,045,112 
Netherlands - 0.3%          
HAL Trust   39,727    5,471,589 
           
Norway - 0.9%          
Orkla ASA   2,098,631    15,667,786 
           
Singapore - 1.0%          
Haw Par Corp. Ltd.   937,200    6,991,730 
United Overseas Bank Ltd.   255,500    5,807,678 
UOL Group Ltd.   764,200    4,077,443 
         16,876,851 
South Korea - 2.3%          
KT&G Corp.*   404,136    30,314,854 
Samsung Electronics Co. Ltd. (Preference)   157,978    7,089,119 
         37,403,973 
Sweden - 2.0%          
Industrivarden AB, Class A   10,611    281,089 
Industrivarden AB, Class C   436,104    11,489,017 
Investor AB, Class A   639,643    12,766,372 
Svenska Handelsbanken AB, Class A   831,749    8,673,497 
         33,209,975 
Switzerland - 2.1%          
Cie Financiere Richemont SA (Registered)   144,172    22,225,170 
Schindler Holding AG   61,668    13,143,756 
         35,368,926 
Taiwan - 0.3%          
Taiwan Semiconductor Manufacturing Co. Ltd., ADR (a)   47,844    4,436,574 
           
Thailand - 0.8%          
Bangkok Bank PCL, NVDR   1,644,800    7,929,392 
Thai Beverage PCL   10,785,200    5,760,805 
         13,690,197 
United Kingdom - 7.2%          
BAE Systems plc   807,624    8,549,550 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
Berkeley Group Holdings plc   222,665    11,402,161 
British American Tobacco plc   989,342    37,925,262 
Linde plc   6,853    2,267,932 
Lloyds Banking Group plc   9,591,729    6,242,257 
Reckitt Benckiser Group plc   120,054    8,555,161 
Unilever plc   871,901    44,263,699 
         119,206,022 
United States - 24.2%          
Analog Devices, Inc. (a)    37,082    6,358,450 
Bank of New York Mellon Corp. (The) (a)   336,334    17,008,410 
Becton Dickinson & Co.   32,527    8,203,960 
Boston Properties, Inc., REIT (a)   116,979    8,719,615 
CH Robinson Worldwide, Inc. (a)   107,646    10,782,900 
Colgate-Palmolive Co. (a)   283,242    21,110,026 
Comcast Corp., Class A (a)   522,212    20,549,042 
Douglas Emmett, Inc., REIT   331,773    5,557,198 
Elevance Health, Inc. (a)   15,305    7,652,347 
Equity Residential, REIT   282,147    17,958,657 
Exxon Mobil Corp. (a)   434,620    50,420,266 
Fidelity National Financial, Inc.   15,685    690,611 
Fidelity National Information Services, Inc. (a)   58,474    4,387,889 
General Dynamics Corp.    7,297    1,700,639 
GSK plc   403,994    7,096,170 
Haleon plc*   3,403,644    13,639,710 
HCA Healthcare, Inc. (a)   86,699    22,114,314 
IDACORP, Inc. (a)   45,166    4,779,014 
Kraft Heinz Co. (The) (a)   148,824    6,031,837 
Medtronic plc   49,431    4,136,880 
Nestle SA (Registered)   302,470    36,904,080 
Oracle Corp. (a)   77,125    6,822,477 
Philip Morris International, Inc. (a)   292,773    30,518,657 
Ross Stores, Inc. (a)   46,498    5,495,599 
Royal Gold, Inc.   78,566    9,980,239 
Schlumberger Ltd. (a)   168,227    9,585,574 
Texas Instruments, Inc. (a)   80,467    14,259,557 
Travelers Cos., Inc. (The)   15    2,867 
Truist Financial Corp.   34,610    1,709,388 
UGI Corp. (a)   152,737    6,083,515 
Union Pacific Corp. (a)   6,543    1,336,015 
Universal Health Services, Inc., Class B (a)   19,258    2,854,228 
US Bancorp   308,262    15,351,448 
Walmart, Inc. (a)   56,972    8,196,562 
Wells Fargo & Co. (a)   229,665    10,764,399 
Weyerhaeuser Co., REIT (a)   129,131    4,445,980 
         403,208,520 
TOTAL Common Stocks
(Cost $929,045,802)
        1,062,521,958 

 

Investments  Principal
Amount ($)
   Value ($) 
CORPORATE BONDS - 10.1%          
           
Australia - 0.2%          
Coronado Finance Pty. Ltd.          
10.75%, 5/15/2026 (c)   1,459,000    1,503,961 
Nufarm Australia Ltd.          
5.00%, 1/27/2030 (c)   2,595,000    2,354,483 
         3,858,444 
Canada - 0.5%          
Open Text Corp.          
3.88%, 2/15/2028 (c)   1,106,000    961,070 
Open Text Holdings, Inc.          
4.13%, 2/15/2030 (c)   6,065,000    5,107,195 
Transcanada Trust Series 16-A          
5.87%, 8/15/2076 (d)   2,550,000    2,479,365 
         8,547,630 
Germany - 0.3%          
IHO Verwaltungs GmbH          
4.75%, (4.75% Cash or 5.50% PIK), 9/15/2026 (c)(e)   3,879,000    3,548,043 
6.00%, (6.00% Cash or 6.75% PIK), 5/15/2027 (c)(e)   1,336,632    1,241,491 
         4,789,534 
Mexico - 0.7%          
Mexico Remittances Funding Fiduciary Estate Management Sarl          
4.88%, 1/15/2028‡ (c)   13,186,000    12,165,434 
           
Poland - 0.3%          
Canpack SA          
3.13%, 11/1/2025 (c)   420,000    382,410 
3.88%, 11/15/2029 (c)   6,197,000    5,145,927 
         5,528,337 
United Kingdom - 0.2%          
BAT Capital Corp.          
3.22%, 9/6/2026   2,425,000    2,284,175 
           
United States - 7.9%          
ACCO Brands Corp.          
4.25%, 3/15/2029 (c)   7,408,000    6,408,327 
Aircastle Ltd.          
4.40%, 9/25/2023   984,000    975,480 
American Airlines, Inc.          
5.50%, 4/20/2026 (c)   4,267,833    4,183,863 
5.75%, 4/20/2029 (c)   502,000    485,545 
American Tower Corp.          
REIT, 2.40%, 3/15/2025   115,000    109,046 
AMN Healthcare, Inc.          
4.63%, 10/1/2027 (c)   2,959,000    2,744,709 
Aramark Services, Inc.          
5.00%, 4/1/2025 (c)   2,141,000    2,108,885 
5.00%, 2/1/2028 (c)   194,000    182,845 
Ball Corp.          
6.88%, 3/15/2028   752,000    775,575 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Principal
Amount ($)
   Value ($) 
Bank of New York Mellon Corp. (The)          
Series I, (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 2.63%), 3.75%, 12/20/2026 (d)(f)   2,882,000    2,503,882 
Carnival Corp.          
4.00%, 8/1/2028 (c)   1,206,000    1,041,960 
Centene Corp.          
4.25%, 12/15/2027   2,873,000    2,755,983 
4.63%, 12/15/2029   450,000    427,527 
Charles River Laboratories International, Inc.          
4.25%, 5/1/2028 (c)   2,282,000    2,111,603 
3.75%, 3/15/2029 (c)   1,522,000    1,355,622 
CITGO Petroleum Corp.          
7.00%, 6/15/2025 (c)   8,657,000    8,584,108 
6.38%, 6/15/2026 (c)   5,182,000    5,077,661 
DCP Midstream Operating LP          
6.45%, 11/3/2036 (c)   773,000    810,831 
Delta Air Lines, Inc.          
4.50%, 10/20/2025 (c)   5,641,167    5,573,819 
DT Midstream, Inc.          
4.13%, 6/15/2029 (c)   2,910,000    2,553,525 
Edgewell Personal Care Co.          
5.50%, 6/1/2028 (c)   1,770,000    1,676,208 
4.13%, 4/1/2029 (c)   1,557,000    1,356,536 
Embecta Corp.          
5.00%, 2/15/2030 (c)   2,393,000    1,971,234 
6.75%, 2/15/2030 (c)   2,292,000    2,062,318 
HCA, Inc.          
5.38%, 2/1/2025   1,500,000    1,505,666 
5.88%, 2/15/2026   1,449,000    1,474,959 
3.50%, 9/1/2030   1,588,000    1,423,369 
Imola Merger Corp.          
4.75%, 5/15/2029 (c)   3,133,000    2,725,710 
Iron Mountain, Inc.          
REIT, 5.25%, 3/15/2028 (c)   1,005,000    955,655 
REIT, 5.00%, 7/15/2028 (c)   1,596,000    1,467,543 
REIT, 4.88%, 9/15/2029 (c)   1,322,000    1,193,945 
REIT, 5.25%, 7/15/2030 (c)   3,609,000    3,265,928 
KFC Holding Co.          
4.75%, 6/1/2027 (c)   1,472,000    1,427,840 
Kinder Morgan Energy Partners LP          
4.15%, 2/1/2024   2,700,000    2,674,198 
Lamb Weston Holdings, Inc.          
4.13%, 1/31/2030 (c)   1,583,000    1,426,679 
Mileage Plus Holdings LLC          
6.50%, 6/20/2027 (c)   4,895,609    4,946,082 
MSCI, Inc.          
4.00%, 11/15/2029 (c)   2,625,000    2,388,750 
Pilgrim's Pride Corp.          
5.88%, 9/30/2027 (c)   3,343,000    3,317,225 
4.25%, 4/15/2031 (c)   2,699,000    2,341,383 
Post Holdings, Inc.          
5.75%, 3/1/2027 (c)   2,867,000    2,824,224 
PRA Group, Inc.          
7.38%, 9/1/2025 (c)   1,200,000    1,189,902 
Roller Bearing Co. of America, Inc.          
4.38%, 10/15/2029 (c)   2,635,000    2,374,319 
Scripps Escrow II, Inc.          
5.38%, 1/15/2031 (c)   64,000    51,648 
SEG Holding LLC          
5.63%, 10/15/2028 (c)   5,461,000    5,162,543 
Service Corp. International          
4.63%, 12/15/2027   699,000    664,537 
5.13%, 6/1/2029   857,000    820,667 
Spectrum Brands, Inc.          
5.75%, 7/15/2025   1,520,000    1,507,337 
Sylvamo Corp.          
7.00%, 9/1/2029 (c)   2,234,000    2,136,061 
Taylor Morrison Communities, Inc.          
5.13%, 8/1/2030 (c)   2,000,000    1,829,000 
Teleflex, Inc.          
4.63%, 11/15/2027   2,919,000    2,786,806 
4.25%, 6/1/2028 (c)   782,000    721,356 
Truist Financial Corp.          
Series N, (US Treasury Yield Curve Rate T Note Constant Maturity 5 Year + 3.00%), 4.80%, 9/1/2024 (d)(f)   11,982,000    11,481,333 
United Airlines Pass-Through Trust          
Series 2020-1, Class A, 5.88%, 10/15/2027   3,127,543    3,164,714 
VICI Properties LP          
REIT, 5.63%, 5/1/2024 (c)   1,586,000    1,582,683 
WESCO Distribution, Inc.          
7.25%, 6/15/2028 (c)   2,136,000    2,188,709 
         130,857,863 
TOTAL Corporate Bonds
(Cost 174,654,697)
        168,031,417 

 

Investments  Principal
Amount ($)
   Value ($) 
U.S. TREASURY OBLIGATIONS - 9.1%          
           
U.S. Treasury Bonds          
6.13%, 11/15/2027 (g)   13,267,400    14,695,200 
U.S. Treasury Inflation Linked Notes          
0.63%, 1/15/2024   10,540,000    13,184,836 
0.38%, 7/15/2025   9,475,000    11,505,426 
0.13%, 4/15/2027   12,630,800    12,577,085 
U.S. Treasury Notes          
0.25%, 6/15/2023   7,865,200    7,736,162 
2.63%, 12/31/2023 (g)   19,435,700    19,064,448 
2.50%, 1/31/2024   14,953,900    14,628,536 
1.75%, 6/30/2024   14,117,000    13,578,238 
1.75%, 12/31/2024   16,847,000    16,088,227 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Principal
Amount ($)
   Value ($) 
1.75%, 3/15/2025   4,180,000    3,979,001 
0.38%, 12/31/2025   17,607,700    15,948,724 
1.75%, 12/31/2026   9,210,000    8,563,501 
TOTAL U.S. Treasury Obligations
(Cost 155,821,528)
        151,549,384 

 

Investments  Ounces   Value ($) 
COMMODITIES - 6.5%          
           
Gold bullion*
(Cost $69,667,432)
   56,395    108,732,506 

 

Investments  Shares   Value ($) 
MASTER LIMITED PARTNERSHIPS - 3.7%          
           
United States - 3.7%          
Enterprise Products Partners LP   1,203,180    30,801,408 
Magellan Midstream Partners LP (a)   595,232    31,785,389 
TOTAL Master Limited Partnerships
(Cost 53,608,809)
        62,586,797 

 

Investments  Principal
Amount ($)
   Value ($) 
FOREIGN GOVERNMENT SECURITIES - 1.7%           
            
Brazil - 0.2%           
Notas do Tesouro Nacional           
10.00%, 1/1/2025  BRL 21,000,000    3,982,252 
            
Colombia - 0.3%           
Titulos de Tesoreria           
Series B, 5.75%, 11/3/2027  COP 19,880,400,000    3,327,580 
3.00%, 1/30/2030    2,690,000    2,094,506 
          5,422,086 
Italy - 0.2%           
Republic of Italy           
2.38%, 10/17/2024    3,300,000    3,124,717 
            
Mexico - 0.4%           
Mex Bonos Desarr Fix Rt           
Series M, 8.00%, 12/7/2023  MXN 68,770,000    3,570,795 
Series M, 5.75%, 3/5/2026  MXN 56,800,000    2,731,727 
          6,302,522 
Saudi Arabia - 0.1%           
Kingdom of Saudi Arabia           
4.75%, 1/18/2028 (c)    800,000    810,240 
            
Singapore - 0.3%           
Republic of Singapore           
1.25%, 11/1/2026  SGD 7,592,000    5,449,852 
            
South Korea - 0.2%           
Republic of Korea           
1.25%, 3/10/2026  KRW 4,480,550,000    3,414,601 
            
TOTAL Foreign Government Securities
(Cost 30,517,652)
         28,506,270 

 

Investments  Principal
Amount ($)
   Value ($) 
CONVERTIBLE PREFERRED STOCKS - 1.6%           
            
United States - 1.6%           
Bank of America Corp.           
Series L, 7.25%, (f)    10,496    13,059,123 
Wells Fargo & Co.           
Series L, 7.50%, (f)    11,123    13,992,623 
TOTAL Convertible Preferred Stocks
(Cost 30,438,618)
         27,051,746 

 

Investments  Shares   Value ($) 
PREFERRED STOCKS - 1.2%          
           
United States - 1.2%          
Charles Schwab Corp. (The)          
Series D 5.95%, 03/01/23 (f)   46,239    1,162,911 
General American Investors Co., Inc.          
Series B 5.95%, 12/03/21 (f)   4,712    122,621 
MetLife, Inc.          
Series A(ICE LIBOR USD 3 Month + 1.00%, 4.00% Floor),  5.75%, 12/03/21 (d)(f)   128,986    3,051,809 
Northern Trust Corp.          
Series E 4.70%, 01/01/25 (f)   101,453    2,318,201 
State Street Corp.          
Series G(ICE LIBOR USD 3 Month + 3.71%),  5.35%, 03/15/26 (d)(f)   57,946    1,515,288 
Truist Financial Corp.          
Series R 4.75%, 09/01/25 (f)   383,073    8,504,220 
US Bancorp          
Series B(ICE LIBOR USD 3 Month + 0.60%),  5.39%, 12/03/21 (d)(f)   140,375    2,863,650 
TOTAL Preferred Stocks
(Cost 20,485,647)
        19,538,700 

  

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
CLOSED END FUNDS - 0.8%          
United Kingdom - 0.8%          
Caledonia Investments plc
(Cost $11,116,587)
   310,700    13,777,191 

 

Investments  Principal Amount ($)   Value ($) 
LOAN ASSIGNMENTS - 0.1%          
           
United States - 0.1%          
Aramark Intermediate HoldCo Corp., Term Loan B3          
(ICE LIBOR USD 1 Month + 1.75%), 6.32%, 3/11/2025 (d)
(Cost $1,483,815)
   1,500,000    1,488,435 

 

Investments  Principal Amount ($)   Value ($) 
SHORT-TERM INVESTMENTS - 1.1%          
           
COMMERCIAL PAPER - 1.1%          
Arrow Electronics, Inc.          
4.80%, 2/1/2023 (h)   1,874,000    1,873,747 
CenterPoint Energy, Inc.          
4.50%, 2/1/2023 (h)   2,104,000    2,103,734 
Entergy Corp.          
4.50%, 2/1/2023 (c)(h)   2,143,000    2,142,730 
General Motors Financial Co., Inc.          
4.75%, 2/1/2023 (h)   4,286,000    4,285,430 
Mitsui & Co. USA, Inc.          
4.31%, 2/1/2023 (h)   1,948,000    1,947,767 
Walgreens Boots Alliance, Inc.          
4.65%, 2/1/2023 (c)(h)   6,468,000    6,467,166 
TOTAL COMMERCIAL PAPER
(Cost $18,822,999)
        18,820,574 

 

Investments  Shares   Value ($) 
INVESTMENT COMPANIES - 0.0% (i)          
JP Morgan U.S. Government Money Market Fund, Capital Shares 4.20%  (j)
(Cost $6,455)
   6,455    6,455 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $18,829,454)
        18,827,029 
           
Total Investments - 99.6%
 (Cost $1,495,670,041)
        1,662,611,433 
Other assets less liabilities - 0.4%        6,013,607 
Net Assets - 100.0%        1,668,625,040 

 

* Non-income producing security.
Value determined using significant unobservable inputs.
(a) All or a portion of the security pledged as collateral for call options written.
(b) Security exempt from registration pursuant to Regulation S under the Securities Act of 1933. Regulation S applies to securities offerings that are made outside of the United States and do not involve direct selling efforts in the United States and as such may have restrictions on resale.
(c) Securities exempt from registration under Rule 144A or section 4(a)2 of the Securities Act of 1933. Total value of all such securities at January 31, 2023 amounted to $138,415,056, which represents approximately 8.30% of net assets of the Fund.
(d) Variable or floating rate security, linked to the referenced benchmark. The interest rate shown is the rate in effect as of January 31, 2023.
(e) Security has the ability to pay in kind (“PIK”) or pay income in cash. When applicable, separate rates of such payments are disclosed.
(f) Perpetual security. The rate reflected was the rate in effect on January 31, 2023. The maturity date reflects the next call date.
(g) All or a portion of this security is pledged with the custodian for current or potential holdings of forward foreign currency exchange contracts.
(h) The rate shown was the current yield as of January 31, 2023.
(i) Represents less than 0.05% of net assets.
(j) Represents 7-day effective yield as of January 31, 2023.

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Forward Foreign Currency Exchange Contracts outstanding as of January 31, 2023
 
Currency Purchased  Currency Sold  Counterparty  Settlement Date  Unrealized Appreciation (Depreciation) ($) 
USD 3,602,763  EUR 3,461,000  UBS AG  2/15/2023  (163,054)
USD 3,611,346  EUR 3,461,000  Bank of New York Mellon  3/15/2023  (160,882)
USD 3,895,931  EUR 3,664,000  Goldman Sachs  4/19/2023  (106,127)
USD 2,380,016  GBP 1,946,000  Goldman Sachs  4/19/2023  (23,045)
USD 3,561,387  EUR 3,294,000  JPMorgan Chase Bank  5/17/2023  (41,912)
USD 2,637,625  GBP 2,172,000  JPMorgan Chase Bank  5/17/2023  (45,929)
Net unrealized depreciation       (540,949)

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Written Call Options Contracts as of January 31, 2023 :

 

Description  Counterparty  Number of
Contracts
  Notional
Amount
   Exercise Price    Expiration
Date
  Value ($) 
Analog Devices, Inc.  Exchange Traded  99  USD (1,697,553)  USD 230.00   9/15/2023   (11,137)
Bank of New York Mellon Corp. (The)  Exchange Traded  336  USD (1,699,152)  USD 55.00   6/16/2023   (36,960)
Bank of New York Mellon Corp. (The)  Exchange Traded  327  USD (1,653,639)  USD 60.00   6/16/2023   (8,175)
Bank of New York Mellon Corp. (The)  Exchange Traded  328  USD (1,658,696)  USD 60.00   9/15/2023   (26,240)
Bank of New York Mellon Corp. (The)  Exchange Traded  329  USD (1,663,753)  USD 65.00   9/15/2023   (9,048)
Becton Dickinson & Co.  Exchange Traded  66  USD (1,664,652)  USD 300.00   9/15/2023   (22,440)
Boston Properties, Inc., REIT  Exchange Traded  463  USD (3,451,202)  USD 85.00   7/21/2023   (71,765)
Boston Properties, Inc., REIT  Exchange Traded  224  USD (1,669,696)  USD 90.00   7/21/2023   (16,800)
CH Robinson Worldwide, Inc.  Exchange Traded  170  USD (1,702,890)  USD 120.00   5/19/2023   (12,750)
CH Robinson Worldwide, Inc.  Exchange Traded  178  USD (1,783,026)  USD 120.00   7/21/2023   (29,370)
CH Robinson Worldwide, Inc.  Exchange Traded  170  USD (1,702,890)  USD 125.00   5/19/2023   (6,375)
CH Robinson Worldwide, Inc.  Exchange Traded  175  USD (1,752,975)  USD 125.00   7/21/2023   (14,875)
Coca-Cola Femsa SAB de CV  Exchange Traded  464  USD (3,534,752)  USD 80.00   2/17/2023   (13,920)
Coca-Cola Femsa SAB de CV  Exchange Traded  226  USD (1,721,668)  USD 90.00   8/18/2023   (23,165)
Colgate-Palmolive Co.  Exchange Traded  196  USD (1,460,788)  USD 90.00   5/19/2023   (3,920)
Colgate-Palmolive Co.  Exchange Traded  210  USD (1,565,130)  USD 90.00   8/18/2023   (3,675)
Comcast Corp., Class A  Exchange Traded  434  USD (1,707,790)  USD 50.00   6/16/2023   (6,293)
Elevance Health, Inc.  Exchange Traded  30  USD (1,499,970)  USD 500.00   3/17/2023   (46,560)
Elevance Health, Inc.  Exchange Traded  31  USD (1,549,969)  USD 510.00   6/16/2023   (83,452)
Elevance Health, Inc.  Exchange Traded  29  USD (1,449,971)  USD 540.00   6/16/2023   (42,775)
Elevance Health, Inc.  Exchange Traded  29  USD (1,449,971)  USD 550.00   3/17/2023   (6,090)
Exxon Mobil Corp.  Exchange Traded  144  USD (1,670,544)  USD 120.00   2/17/2023   (13,824)
Exxon Mobil Corp.  Exchange Traded  161  USD (1,867,761)  USD 120.00   6/16/2023   (93,380)
Exxon Mobil Corp.  Exchange Traded  134  USD (1,554,534)  USD 125.00   3/17/2023   (14,070)
Exxon Mobil Corp.  Exchange Traded  138  USD (1,600,938)  USD 130.00   2/17/2023   (414)
Exxon Mobil Corp.  Exchange Traded  134  USD (1,554,534)  USD 130.00   3/17/2023   (4,824)
Exxon Mobil Corp.  Exchange Traded  141  USD (1,635,741)  USD 135.00   3/17/2023   (1,692)
Exxon Mobil Corp.  Exchange Traded  141  USD (1,635,741)  USD 140.00   3/17/2023   (564)
Exxon Mobil Corp.  Exchange Traded  129  USD (1,496,529)  USD 145.00   3/17/2023   (387)
Exxon Mobil Corp.  Exchange Traded  149  USD (1,728,549)  USD 145.00   6/16/2023   (6,705)
Exxon Mobil Corp.  Exchange Traded  129  USD (1,496,529)  USD 150.00   3/17/2023   (516)
Exxon Mobil Corp.  Exchange Traded  147  USD (1,705,347)  USD 150.00   6/16/2023   (3,381)
Exxon Mobil Corp.  Exchange Traded  145  USD (1,682,145)  USD 155.00   7/21/2023   (4,132)
Exxon Mobil Corp.  Exchange Traded  143  USD (1,658,943)  USD 160.00   7/21/2023   (2,288)
Fidelity National Information Services, Inc.  Exchange Traded  221  USD (1,658,384)  USD 90.00   2/17/2023   (4,420)
Fidelity National Information Services, Inc.  Exchange Traded  208  USD (1,560,832)  USD 90.00   4/21/2023   (11,440)
General Dynamics Corp.  Exchange Traded  72  USD (1,678,032)  USD 290.00   8/18/2023   (4,680)
HCA Healthcare, Inc.  Exchange Traded  47  USD (1,198,829)  USD 220.00   3/17/2023   (174,135)
HCA Healthcare, Inc.  Exchange Traded  125  USD (3,188,375)  USD 230.00   3/17/2023   (353,125)
HCA Healthcare, Inc.  Exchange Traded  152  USD (3,877,064)  USD 240.00   3/17/2023   (287,280)
HCA Healthcare, Inc.  Exchange Traded  135  USD (3,443,445)  USD 250.00   3/17/2023   (175,500)
HCA Healthcare, Inc.  Exchange Traded  64  USD (1,632,448)  USD 290.00   3/17/2023   (8,000)
HCA Healthcare, Inc.  Exchange Traded  64  USD (1,632,448)  USD 290.00   6/16/2023   (41,600)
HCA Healthcare, Inc.  Exchange Traded  64  USD (1,632,448)  USD 310.00   9/15/2023   (37,120)
HCA Healthcare, Inc.  Exchange Traded  65  USD (1,657,955)  USD 320.00   6/16/2023   (7,800)
HCA Healthcare, Inc.  Exchange Traded  64  USD (1,632,448)  USD 320.00   9/15/2023   (25,280)
IDACORP, Inc.  Exchange Traded  128  USD (1,354,368)  USD 130.00   2/17/2023   (61,440)
Kraft Heinz Co. (The)  Exchange Traded  407  USD (1,649,571)  USD 42.50   4/21/2023   (31,339)
Kraft Heinz Co. (The)  Exchange Traded  381  USD (1,544,193)  USD 50.00   7/21/2023   (4,953)

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Description  Counterparty  Number of
Contracts
  Notional
Amount
   Exercise Price    Expiration
Date
  Value ($) 
Magellan Midstream Partners LP  Exchange Traded  275  USD (1,468,500)  USD 60.00   4/21/2023   (2,750)
Oracle Corp.  Exchange Traded  187  USD (1,654,202)  USD 85.00   3/17/2023   (104,720)
Oracle Corp.  Exchange Traded  187  USD (1,654,202)  USD 87.50   2/17/2023   (43,010)
Oracle Corp.  Exchange Traded  188  USD (1,663,048)  USD 100.00   3/17/2023   (5,640)
Philip Morris International, Inc.  Exchange Traded  149  USD (1,553,176)  USD 115.00   3/17/2023   (2,608)
Philip Morris International, Inc.  Exchange Traded  149  USD (1,553,176)  USD 120.00   3/17/2023   (2,235)
Philip Morris International, Inc.  Exchange Traded  155  USD (1,615,720)  USD 120.00   6/16/2023   (6,975)
Philip Morris International, Inc.  Exchange Traded  152  USD (1,584,448)  USD 125.00   6/16/2023   (3,040)
Philip Morris International, Inc.  Exchange Traded  165  USD (1,719,960)  USD 125.00   9/15/2023   (10,725)
Philip Morris International, Inc.  Exchange Traded  149  USD (1,553,176)  USD 130.00   6/16/2023   (2,980)
Ross Stores, Inc.  Exchange Traded  183  USD (2,162,877)  USD 100.00   5/19/2023   (429,135)
Schlumberger Ltd.  Exchange Traded  276  USD (1,572,648)  USD 70.00   2/17/2023   (828)
Schlumberger Ltd.  Exchange Traded  301  USD (1,715,098)  USD 75.00   5/19/2023   (11,438)
Schlumberger Ltd.  Exchange Traded  290  USD (1,652,420)  USD 80.00   8/18/2023   (20,300)
Taiwan Semiconductor Manufacturing Co. Ltd., ADR  Exchange Traded  181  USD (1,678,413)  USD 100.00   2/17/2023   (7,240)
Texas Instruments, Inc.  Exchange Traded  87  USD (1,541,727)  USD 195.00   2/17/2023   (1,740)
Texas Instruments, Inc.  Exchange Traded  87  USD (1,541,727)  USD 210.00   4/21/2023   (4,002)
Texas Instruments, Inc.  Exchange Traded  92  USD (1,630,332)  USD 220.00   4/21/2023   (1,564)
Texas Instruments, Inc.  Exchange Traded  90  USD (1,594,890)  USD 230.00   4/21/2023   (720)
UGI Corp.  Exchange Traded  399  USD (1,589,217)  USD 40.00   2/17/2023   (31,920)
Union Pacific Corp.  Exchange Traded  65  USD (1,327,235)  USD 220.00   5/19/2023   (25,805)
Universal Health Services, Inc., Class B  Exchange Traded  104  USD (1,541,384)  USD 160.00   2/17/2023   (6,240)
Universal Health Services, Inc., Class B  Exchange Traded  88  USD (1,304,248)  USD 160.00   3/17/2023   (20,680)
Walmart, Inc.  Exchange Traded  99  USD (1,424,313)  USD 165.00   2/17/2023   (99)
Walmart, Inc.  Exchange Traded  113  USD (1,625,731)  USD 170.00   3/17/2023   (791)
Wells Fargo & Co.  Exchange Traded  355  USD (1,663,885)  USD 52.50   7/21/2023   (41,890)
Wells Fargo & Co.  Exchange Traded  322  USD (1,509,214)  USD 55.00   3/17/2023   (966)
Wells Fargo & Co.  Exchange Traded  322  USD (1,509,214)  USD 55.00   4/21/2023   (5,474)
Wells Fargo & Co.  Exchange Traded  372  USD (1,743,564)  USD 55.00   7/21/2023   (23,808)
Weyerhaeuser Co., REIT  Exchange Traded  529  USD (1,821,347)  USD 38.00   7/21/2023   (33,063)
                         (2,722,460)
Total Written Options Contracts (Premiums Received ($2,447,564))                  (2,722,460)

 

Abbreviations
ADR American Depositary Receipt
BRL Brazilian real
COP Colombian Peso
EUR Euro
Fix Rt Fixed Rate
GBP British Pound
ICE Intercontinental Exchange
KRW Korea (Rep.) Won
LIBOR London Interbank Offered Rate
MXN Mexican Peso
NVDR Non-Voting Depositary Receipt
Preference A special type of equity investment that shares in the earnings of the company, has limited voting rights, and may have a dividend preference. Preference shares may also have liquidation preference.
REIT Real Estate Investment Trust
SGD Singapore Dollar
USD United States Dollar

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Income Builder Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Aerospace & Defense   0.6%
Air Freight & Logistics   0.6 
Airlines   1.1 
Auto Components   0.3 
Banks   6.8 
Beverages   4.3 
Capital Markets   1.7 
Chemicals   1.1 
Commercial Services & Supplies   1.4 
Commodities   6.5 
Consumer Finance   0.1 
Containers & Packaging   0.3 
Diversified Consumer Services   0.1 
Diversified Financial Services   5.1 
Electric Utilities   0.3 
Electrical Equipment   0.0*
Electronic Equipment, Instruments & Components   0.0*
Energy Equipment & Services   0.6 
Equity Real Estate Investment Trusts (REITs)   2.7 
Food & Staples Retailing   0.8 
Food Products   5.3 
Foreign Government Securities   1.7 
Gas Utilities   0.4 
Health Care Equipment & Supplies   1.2 
Health Care Providers & Services   2.5 
Hotels, Restaurants & Leisure   0.9 
Household Durables   0.8 
Household Products   2.5 
Industrial Conglomerates   2.4 
Insurance   2.5 
IT Services   0.3 
Leisure Products   0.3 
Life Sciences Tools & Services   0.2 
Machinery   1.8 
Media   1.2 
Metals & Mining   2.6 
Oil, Gas & Consumable Fuels   8.9 
Paper & Forest Products   0.1 
Personal Products   3.7 
Pharmaceuticals   1.7 
Professional Services   0.2 
Real Estate Management & Development   2.2 
Road & Rail   0.1 
Semiconductors & Semiconductor Equipment   1.6 
Software   0.8 
Specialty Retail   0.5 
Technology Hardware, Storage & Peripherals   0.5 
Textiles, Apparel & Luxury Goods   1.3 
Tobacco   6.1 
Trading Companies & Distributors   0.7 
U.S. Treasury Obligations   9.1 
Short-Term Investments   1.1 
Total Investments   99.6%

 

*Less than 0.05%

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle High Income Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Principal
Amount ($)
   Value ($) 
CORPORATE BONDS - 89.1%
         
Australia - 0.9%
Coronado Finance Pty. Ltd.          
10.75%, 5/15/2026 (a)   867,000    893,717 
Nufarm Australia Ltd.          
5.00%, 1/27/2030 (a)   859,000    779,384 
         1,673,101 
Canada - 4.0%          
Kronos Acquisition Holdings, Inc.          
5.00%, 12/31/2026 (a)   2,000,000    1,815,500 
7.00%, 12/31/2027 (a)   932,000    812,238 
Open Text Corp.          
3.88%, 2/15/2028 (a)   2,190,000    1,903,023 
Open Text Holdings, Inc.          
4.13%, 2/15/2030 (a)   393,000    330,936 
Precision Drilling Corp.          
6.88%, 1/15/2029 (a)   1,944,000    1,872,539 
Ritchie Bros Auctioneers, Inc.          
5.38%, 1/15/2025 (a)   634,000    626,192 
         7,360,428 
Germany - 4.4%          
Cheplapharm Arzneimittel GmbH          
5.50%, 1/15/2028 (a)   2,640,000    2,356,359 
IHO Verwaltungs GmbH          
4.75%, (4.75% Cash or 5.50% PIK) 9/15/2026 (a)(b)   3,041,000    2,781,542 
6.00%, (6.00% Cash or 6.75% PIK) 5/15/2027 (a)(b)   1,280,244    1,189,116 
6.37%, (6.38% Cash or 7.13% PIK) 5/15/2029 (a)(b)   689,000    602,840 
Mercer International, Inc.          
5.13%, 2/1/2029   1,395,000    1,193,004 
         8,122,861 
Mexico - 1.9%          
Mexico Remittances Funding Fiduciary Estate Management Sarl          
4.88%, 1/15/2028‡ (a)   3,626,000    3,345,356 
Petroleos Mexicanos          
6.70%, 2/16/2032   200,000    166,013 
         3,511,369 
Poland - 1.1%          
Canpack SA          
3.13%, 11/1/2025 (a)   200,000    182,100 
3.88%, 11/15/2029 (a)   2,147,000    1,782,847 
         1,964,947 
Singapore - 0.6%          
Avation Capital SA          
6.50%, (8.25% Cash or 9.00% PIK) 10/31/2026 (a)(b)   1,250,917    1,062,758 
           
United Kingdom - 0.6%          
Petrofac Ltd.          
9.75%, 11/15/2026 (a)   1,600,000    1,024,838 
           
United States - 75.6%          
ACCO Brands Corp.          
4.25%, 3/15/2029 (a)   2,114,000    1,828,726 
American Airlines, Inc.          
5.50%, 4/20/2026 (a)   1,251,333    1,226,713 
5.75%, 4/20/2029 (a)   185,000    178,936 
AMN Healthcare, Inc.          
4.63%, 10/1/2027 (a)   2,626,000    2,435,825 
4.00%, 4/15/2029 (a)   1,609,000    1,395,695 
Antero Midstream Partners LP          
7.88%, 5/15/2026 (a)   615,000    631,144 
5.38%, 6/15/2029 (a)   1,294,000    1,201,802 
Antero Resources Corp.          
8.38%, 7/15/2026 (a)   604,000    633,958 
Aramark Services, Inc.          
5.00%, 4/1/2025 (a)   623,000    613,655 
6.38%, 5/1/2025 (a)   1,163,000    1,163,291 
5.00%, 2/1/2028 (a)   57,000    53,722 
Arcosa, Inc.          
4.38%, 4/15/2029 (a)   163,000    145,769 
Arko Corp.          
5.13%, 11/15/2029 (a)   1,000,000    792,700 
Ashland LLC          
3.38%, 9/1/2031 (a)   1,500,000    1,245,000 
Avantor Funding, Inc.          
3.88%, 11/1/2029 (a)   2,000,000    1,758,120 
Ball Corp.          
6.88%, 3/15/2028   367,000    378,505 
Boyd Gaming Corp.          
4.75%, 12/1/2027   872,000    828,982 
4.75%, 6/15/2031 (a)   162,000    145,769 
BWX Technologies, Inc.          
4.13%, 6/30/2028 (a)   1,000,000    902,506 
4.13%, 4/15/2029 (a)   653,000    584,454 
Carnival Corp.          
5.75%, 3/1/2027 (a)   1,242,000    1,030,860 
4.00%, 8/1/2028 (a)   424,000    366,328 
Centene Corp.          
4.25%, 12/15/2027   2,641,000    2,533,432 
4.63%, 12/15/2029   809,000    768,599 
Charles River Laboratories International, Inc.          
4.25%, 5/1/2028 (a)   857,000    793,008 
3.75%, 3/15/2029 (a)   1,182,000    1,052,789 
Cinemark USA, Inc.          
8.75%, 5/1/2025 (a)   1,603,000    1,632,580 
CITGO Petroleum Corp.          
7.00%, 6/15/2025 (a)   3,956,000    3,922,690 
6.38%, 6/15/2026 (a)   802,000    785,852 
CNX Midstream Partners LP          
4.75%, 4/15/2030 (a)   1,079,000    912,974 
CNX Resources Corp.          
7.38%, 1/15/2031 (a)   250,000    243,123 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle High Income Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Principal
Amount ($)
   Value ($) 
Cogent Communications Group, Inc.          
3.50%, 5/1/2026 (a)   648,000    599,954 
Conduent Business Services LLC          
6.00%, 11/1/2029 (a)   2,000,000    1,770,000 
Consensus Cloud Solutions, Inc.          
6.00%, 10/15/2026 (a)   3,000,000    2,866,929 
Crestwood Midstream Partners LP          
6.00%, 2/1/2029 (a)   1,868,000    1,772,111 
7.38%, 2/1/2031 (a)   1,000,000    1,006,250 
Crocs, Inc.          
4.13%, 8/15/2031 (a)   500,000    415,815 
Crown Americas LLC          
4.75%, 2/1/2026   1,844,000    1,801,477 
Dana, Inc.          
5.38%, 11/15/2027   1,255,000    1,192,520 
DaVita, Inc.          
4.63%, 6/1/2030 (a)   2,234,000    1,882,145 
Delta Air Lines, Inc.          
4.50%, 10/20/2025 (a)   2,197,849    2,171,610 
7.38%, 1/15/2026   1,528,000    1,590,409 
DT Midstream, Inc.          
4.13%, 6/15/2029 (a)   1,243,000    1,090,732 
Dycom Industries, Inc.          
4.50%, 4/15/2029 (a)   2,065,000    1,848,691 
Edgewell Personal Care Co.          
5.50%, 6/1/2028 (a)   618,000    585,252 
4.13%, 4/1/2029 (a)   669,000    582,866 
Embecta Corp.          
5.00%, 2/15/2030 (a)   801,000    659,824 
6.75%, 2/15/2030 (a)   693,000    623,554 
Energizer Holdings, Inc.          
4.75%, 6/15/2028 (a)   8,000    7,160 
4.38%, 3/31/2029 (a)   871,000    756,394 
EnLink Midstream LLC          
6.50%, 9/1/2030 (a)   1,000,000    1,018,750 
Entegris Escrow Corp.          
4.75%, 4/15/2029 (a)   1,000,000    937,239 
Fair Isaac Corp.          
4.00%, 6/15/2028 (a)   2,169,000    2,013,927 
Frontier Communications Holdings LLC          
5.88%, 10/15/2027 (a)   914,000    872,797 
6.75%, 5/1/2029 (a)   308,000    264,110 
6.00%, 1/15/2030 (a)   1,000,000    821,430 
G-III Apparel Group Ltd.          
7.88%, 8/15/2025 (a)   2,000,000    1,899,517 
Gray Escrow II, Inc.          
5.38%, 11/15/2031 (a)   1,000,000    769,025 
Hawaiian Brand Intellectual Property Ltd.          
5.75%, 1/20/2026 (a)   1,240,000    1,184,188 
HCA, Inc.          
3.50%, 9/1/2030   607,000    544,071 
Hertz Corp. (The)          
5.00%, 12/1/2029 (a)   2,000,000    1,635,000 
Howard Hughes Corp. (The)          
4.38%, 2/1/2031 (a)   62,000    51,518 
Imola Merger Corp.          
4.75%, 5/15/2029 (a)   1,184,000    1,030,080 
Ingles Markets, Inc.          
4.00%, 6/15/2031 (a)   1,500,000    1,292,443 
Interface, Inc.          
5.50%, 12/1/2028 (a)   2,794,000    2,347,379 
International Game Technology plc          
5.25%, 1/15/2029 (a)   967,000    928,030 
IQVIA, Inc.          
5.00%, 10/15/2026 (a)   800,000    780,000 
5.00%, 5/15/2027 (a)   1,075,000    1,043,191 
Iron Mountain, Inc.          
REIT, 5.25%, 3/15/2028 (a)   621,000    590,509 
REIT, 5.00%, 7/15/2028 (a)   220,000    202,293 
REIT, 4.88%, 9/15/2029 (a)   870,000    785,727 
REIT, 5.25%, 7/15/2030 (a)   763,000    690,469 
REIT, 4.50%, 2/15/2031 (a)   940,000    805,477 
ITT Holdings LLC          
6.50%, 8/1/2029 (a)   1,250,000    1,085,938 
Jefferies Finance LLC          
5.00%, 8/15/2028 (a)   1,150,000    975,367 
Kaiser Aluminum Corp.          
4.63%, 3/1/2028 (a)   1,312,000    1,197,856 
Koppers, Inc.          
6.00%, 2/15/2025 (a)   2,389,000    2,353,165 
Lamb Weston Holdings, Inc.          
4.88%, 5/15/2028 (a)   581,000    561,925 
4.13%, 1/31/2030 (a)   1,117,000    1,006,696 
Level 3 Financing, Inc.          
4.25%, 7/1/2028 (a)   589,000    466,777 
Macy's Retail Holdings LLC          
5.88%, 3/15/2030 (a)   250,000    228,193 
6.13%, 3/15/2032 (a)   500,000    447,500 
Maxar Technologies, Inc.          
7.75%, 6/15/2027 (a)   2,000,000    2,091,200 
MGIC Investment Corp.          
5.25%, 8/15/2028   612,000    576,932 
Mileage Plus Holdings LLC          
6.50%, 6/20/2027 (a)   699,205    706,413 
Moog, Inc.          
4.25%, 12/15/2027 (a)   155,000    143,763 
MSCI, Inc.          
4.00%, 11/15/2029 (a)   1,000,000    910,000 
Mueller Water Products, Inc.          
4.00%, 6/15/2029 (a)   646,000    572,951 
Oxford Finance LLC          
6.38%, 2/1/2027 (a)   250,000    239,108 
PennyMac Financial Services, Inc.          
5.75%, 9/15/2031 (a)   1,000,000    840,496 
Pilgrim's Pride Corp.          
5.88%, 9/30/2027 (a)   638,000    633,081 
4.25%, 4/15/2031 (a)   2,347,000    2,036,023 
Post Holdings, Inc.          
5.75%, 3/1/2027 (a)   1,786,000    1,759,353 
PRA Group, Inc.          
7.38%, 9/1/2025 (a)   2,000,000    1,983,169 
Radian Group, Inc.          
4.50%, 10/1/2024   645,000    623,601 
Range Resources Corp.          
4.75%, 2/15/2030 (a)   1,000,000    895,754 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle High Income Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Principal
Amount ($)
   Value ($) 
Roller Bearing Co. of America, Inc.          
4.38%, 10/15/2029 (a)   1,019,000    918,190 
Royal Caribbean Cruises Ltd.          
11.50%, 6/1/2025 (a)   596,000    639,973 
5.50%, 8/31/2026 (a)   1,000,000    894,962 
5.38%, 7/15/2027 (a)   100,000    86,988 
8.25%, 1/15/2029 (a)   500,000    522,500 
SBA Communications Corp.          
REIT, 3.88%, 2/15/2027   609,000    562,433 
Scripps Escrow II, Inc.          
5.38%, 1/15/2031 (a)   2,452,000    1,978,764 
Sealed Air Corp.          
4.00%, 12/1/2027 (a)   1,252,000    1,158,163 
6.13%, 2/1/2028 (a)   250,000    252,225 
SEG Holding LLC          
5.63%, 10/15/2028 (a)   3,198,000    3,023,221 
Service Corp. International          
4.63%, 12/15/2027   124,000    117,886 
5.13%, 6/1/2029   125,000    119,701 
Shea Homes LP          
4.75%, 2/15/2028   668,000    595,282 
Spirit Loyalty Cayman Ltd.          
8.00%, 9/20/2025 (a)   1,000,000    1,024,980 
Sprint LLC          
7.88%, 9/15/2023   2,500,000    2,537,183 
Staples, Inc.          
10.75%, 4/15/2027 (a)   500,000    378,750 
Sunoco LP          
4.50%, 4/30/2030   2,000,000    1,781,700 
Sylvamo Corp.          
7.00%, 9/1/2029 (a)   397,000    379,596 
Teleflex, Inc.          
4.63%, 11/15/2027   1,005,000    959,486 
4.25%, 6/1/2028 (a)   1,026,000    946,434 
Thor Industries, Inc.          
4.00%, 10/15/2029 (a)   1,250,000    1,039,400 
Triton Water Holdings, Inc.          
6.25%, 4/1/2029 (a)   2,138,000    1,697,056 
Turning Point Brands, Inc.          
5.63%, 2/15/2026 (a)   1,830,000    1,658,109 
United Airlines Pass-Through Trust          
Series 2020-1, Class A, 5.88%, 10/15/2027   587,027    594,004 
United Airlines, Inc.          
4.38%, 4/15/2026 (a)   343,000    325,622 
4.63%, 4/15/2029 (a)   229,000    208,873 
United Natural Foods, Inc.          
6.75%, 10/15/2028 (a)   1,530,000    1,476,450 
United Rentals North America, Inc.          
6.00%, 12/15/2029 (a)   100,000    101,500 
United Wholesale Mortgage LLC          
5.50%, 4/15/2029 (a)   326,000    280,311 
VICI Properties LP          
REIT, 4.25%, 12/1/2026 (a)   245,000    231,219 
REIT, 5.75%, 2/1/2027 (a)   2,415,000    2,402,321 
REIT, 3.75%, 2/15/2027 (a)   305,000    281,803 
REIT, 4.13%, 8/15/2030 (a)   305,000    272,819 
Vista Outdoor, Inc.          
4.50%, 3/15/2029 (a)   3,203,000    2,594,430 
WESCO Distribution, Inc.          
7.25%, 6/15/2028 (a)   1,850,000    1,895,651 
White Cap Parent LLC          
8.25%, (8.25% Cash or 9.00% PIK) 3/15/2026 (a)(b)   1,972,000    1,799,450 
Wyndham Hotels & Resorts, Inc.          
4.38%, 8/15/2028 (a)   1,222,000    1,127,057 
Ziff Davis, Inc.          
4.63%, 10/15/2030 (a)   1,588,000    1,407,063 
ZipRecruiter, Inc.          
5.00%, 1/15/2030 (a)   500,000    435,000 
         138,960,186 
Total Corporate Bonds
(Cost 177,233,340)
        163,680,488 

 

Investments  Principal
Amount ($)
   Value ($) 
LOAN ASSIGNMENTS - 1.5%          
           
United States - 1.5%          
Aramark Intermediate HoldCo Corp., Term Loan B3          
(ICE LIBOR USD 1 Month + 1.75%), 6.32%, 3/11/2025 (c)   1,750,000    1,736,507 
BJ's Wholesale Club, Inc., 1st Lien Term Loan B          
(ICE LIBOR USD 1 Month + 2.75%), 7.11%, 2/3/2027 (c)   1,070,112    1,070,444 
           
TOTAL Loan Assignments
(Cost 2,800,590)
        2,806,951 

 

Investments  Principal
Amount ($)
   Value ($) 
SHORT-TERM INVESTMENTS - 8.4%          
           
COMMERCIAL PAPER - 8.4%          
Arrow Electronics, Inc.          
4.80%, 2/1/2023 (d)   1,533,000    1,532,793 
CenterPoint Energy, Inc.          
4.50%, 2/1/2023 (d)   1,721,000    1,720,782 
Entergy Corp.          
4.50%, 2/1/2023 (a)(d)   1,753,000    1,752,779 
General Motors Financial Co., Inc.          
4.75%, 2/1/2023 (d)   3,505,000    3,504,534 
Mitsui & Co. USA, Inc.          
4.31%, 2/1/2023 (d)   1,593,000    1,592,810 
Walgreens Boots Alliance, Inc.          
4.65%, 2/1/2023 (a)(d)   5,289,000    5,288,318 
TOTAL COMMERCIAL PAPER
(Cost $15,394,000)
        15,392,016 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle High Income Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
INVESTMENT COMPANIES - 0.0% (e)          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (f)
(Cost $4,679)
   4,679    4,679 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $15,398,679)
        15,396,695 
           
Total Investments - 99.0%
(Cost $195,432,609)
        181,884,134 
Other assets less liabilities - 1.0%        1,888,254 
Net Assets - 100.0%        183,772,388 

 

Value determined using significant unobservable inputs.
(a) Securities exempt from registration under Rule 144A or section 4(a)2 of the Securities Act of 1933. Total value of all such securities at January 31, 2023 amounted to $151,256,365, which represents approximately 82.31% of net assets of the Fund.
(b) Security has the ability to pay in kind (“PIK”) or pay income in cash. When applicable, separate rates of such payments are disclosed.
(c) Variable or floating rate security, linked to the referenced benchmark. The interest rate shown is the rate in effect as of January 31, 2023.
(d) The rate shown was the current yield as of January 31, 2023.
(e) Represents less than 0.05% of net assets.
(f) Represents 7-day effective yield as of January 31, 2023.

 

Abbreviations
ICE Intercontinental Exchange
LIBOR London Interbank Offered Rate
REIT Real Estate Investment Trust
USD United States Dollar

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle High Income Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Aerospace & Defense   2.0%
Airlines   5.0 
Auto Components   3.1 
Automobiles   0.6 
Beverages   0.9 
Capital Markets   0.5 
Chemicals   2.4 
Commercial Services & Supplies   4.6 
Construction & Engineering   1.1 
Consumer Finance   1.7 
Containers & Packaging   3.0 
Diversified Consumer Services   0.1 
Diversified Financial Services   2.5 
Diversified Telecommunication Services   1.3 
Energy Equipment & Services   1.6 
Entertainment   0.9 
Equity Real Estate Investment Trusts (REITs)   3.7 
Food & Staples Retailing   3.7 
Food Products   3.3 
Health Care Equipment & Supplies   2.7 
Health Care Providers & Services   3.1 
Health Care Technology   1.0 
Hotels, Restaurants & Leisure   3.6 
Household Durables   0.3 
Household Products   1.8 
Interactive Media & Services   1.0 
IT Services   1.3 
Leisure Products   1.4 
Life Sciences Tools & Services   1.0 
Machinery   0.8 
Media   1.5 
Metals & Mining   0.7 
Multiline Retail   0.4 
Oil, Gas & Consumable Fuels   9.8 
Paper & Forest Products   0.9 
Personal Products   0.6 
Pharmaceuticals   1.3 
Professional Services   2.1 
Real Estate Management & Development   0.0*
Road & Rail   0.9 
Semiconductors & Semiconductor Equipment   0.5 
Software   3.9 
Specialty Retail   1.6 
Textiles, Apparel & Luxury Goods   1.3 
Thrifts & Mortgage Finance   1.2 
Tobacco   0.9 
Trading Companies & Distributors   1.6 
Wireless Telecommunication Services   1.4 
Short-Term Investments   8.4 
Total Investments   99.0%

 

*      Less than 0.05%

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Fund of America
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
COMMON STOCKS - 95.0%
         
Air Freight & Logistics - 5.9%          
CH Robinson Worldwide, Inc.   114,305    11,449,932 
Expeditors International of Washington, Inc.   101,436    10,970,303 
         22,420,235 
Beverages - 3.9%          
PepsiCo, Inc.   85,057    14,546,448 
           
Capital Markets - 3.1%          
Bank of New York Mellon Corp. (The)   234,559    11,861,649 
           
Electronic Equipment, Instruments & Components - 4.4%          
TE Connectivity Ltd.   131,856    16,765,490 
           
Equity Real Estate Investment Trusts (REITs) - 2.0%          
Equity Residential   121,127    7,709,734 
           
Food Products - 1.1%          
Nestle SA (Registered)   33,476    4,084,375 
           
Health Care Equipment & Supplies - 9.7%          
Becton Dickinson & Co.   49,735    12,544,162 
Medtronic plc   286,840    24,005,639 
         36,549,801 
Health Care Providers & Services - 9.3%          
HCA Healthcare, Inc.   53,355    13,609,260 
UnitedHealth Group, Inc.   42,657    21,293,948 
         34,903,208 
Hotels, Restaurants & Leisure - 1.5%          
Starbucks Corp.   51,285    5,597,245 
           
Household Products - 4.3%          
Colgate-Palmolive Co.   219,798    16,381,545 
           
Interactive Media & Services - 8.1%          
Alphabet, Inc., Class A*   153,955    15,216,912 
Meta Platforms, Inc., Class A*   103,241    15,379,812 
         30,596,724 
IT Services - 1.8%          
Accenture plc, Class A   2,731    762,086 
Fidelity National Information Services, Inc.   79,808    5,988,792 
         6,750,878 
Machinery - 3.4%          
Schindler Holding AG (Switzerland)   59,223    12,622,635 
           
Media - 6.6%          
Comcast Corp., Class A   629,399    24,766,851 
           
Semiconductors & Semiconductor Equipment - 8.7%          
Taiwan Semiconductor Manufacturing Co. Ltd., ADR (Taiwan)   44,654    4,140,765 
Texas Instruments, Inc.   161,075    28,544,101 
         32,684,866 
Software - 7.7%          
Microsoft Corp.   33,141    8,212,671 
Oracle Corp.   237,285    20,990,231 
         29,202,902 
Specialty Retail - 8.1%          
Home Depot, Inc. (The)   53,770    17,430,621 
Ross Stores, Inc.   110,084    13,010,828 
         30,441,449 
Tobacco - 5.4%          
Philip Morris International, Inc.   195,760    20,406,022 
           
TOTAL COMMON STOCKS
(Cost $323,054,672)
        358,292,057 

 

Investments  Shares   Value ($) 
MASTER LIMITED PARTNERSHIPS - 4.0%          
           
Oil, Gas & Consumable Fuels - 4.0%          
Enterprise Products Partners LP   298,192    7,633,715 
Magellan Midstream Partners LP   142,333    7,600,582 
           
TOTAL MASTER LIMITED PARTNERSHIPS
(Cost $14,832,767)
        15,234,297 

 

Investments  Principal Amount ($)   Value ($) 
SHORT-TERM INVESTMENTS - 1.2%          
           
COMMERCIAL PAPER - 1.2%          
Arrow Electronics, Inc.          
4.80%, 2/1/2023 (a)   434,000    433,941 
CenterPoint Energy, Inc.          
4.50%, 2/1/2023 (a)   487,000    486,938 
Entergy Corp.          
4.50%, 2/1/2023 (a)(b)   496,000    495,938 
General Motors Financial Co., Inc.          
4.75%, 2/1/2023 (a)   993,000    992,868 
Mitsui & Co. USA, Inc.          
4.31%, 2/1/2023 (a)   451,000    450,946 
Walgreens Boots Alliance, Inc.          
4.65%, 2/1/2023 (a)(b)   1,499,000    1,498,807 
TOTAL COMMERCIAL PAPER
(Cost $4,360,000)
        4,359,438 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Fund of America
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
INVESTMENT COMPANIES - 0.0% (c)          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (d) 
(Cost $1,857)
   1,857    1,857 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $4,361,857)
        4,361,295 
           
Total Investments - 100.2%
 (Cost $342,249,296)
        377,887,649 
Liabilities in excess of other assets - (0.2%)        (834,595)
Net Assets - 100.0%        377,053,054 

 

* Non-income producing security.
(a) The rate shown was the current yield as of January 31, 2023.
(b) Securities exempt from registration under Rule 144A or section 4(a)2 of the Securities Act of 1933. Total value of all such securities at January 31, 2023 amounted to $1,994,745, which represents approximately 0.53% of net assets of the Fund.
(c) Represents less than 0.05% of net assets.
(d) Represents 7-day effective yield as of January 31, 2023.

 

Abbreviations
ADR American Depositary Receipt

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Fund of America
Schedule of Investments
January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Air Freight & Logistics   5.9%
Beverages   3.9 
Capital Markets   3.1 
Electronic Equipment, Instruments & Components   4.4 
Equity Real Estate Investment Trusts (REITs)   2.0 
Food Products   1.1 
Health Care Equipment & Supplies   9.7 
Health Care Providers & Services   9.3 
Hotels, Restaurants & Leisure   1.5 
Household Products   4.3 
Interactive Media & Services   8.1 
IT Services   1.8 
Machinery   3.4 
Media   6.6 
Oil, Gas & Consumable Fuels   4.0 
Semiconductors & Semiconductor Equipment   8.7 
Software   7.7 
Specialty Retail   8.1 
Tobacco   5.4 
Short-Term Investments   1.2 
Total Investments   100.2%

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Small Cap Opportunity Fund

Schedule of Investments

January 31, 2023

 

Investments  Shares   Value ($) 
COMMON STOCKS - 93.0%
         
Aerospace & Defense - 4.1%          
AAR Corp.*   89,778    4,618,180 
Astronics Corp.*   154,612    2,295,988 
Curtiss-Wright Corp.   23,567    3,907,409 
Ducommun, Inc.*   101,390    5,858,314 
Hexcel Corp.   60,533    4,272,419 
Kaman Corp.   57,902    1,460,289 
Mercury Systems, Inc.*   66,514    3,324,702 
Spirit AeroSystems Holdings, Inc., Class A   115,849    4,187,941 
Triumph Group, Inc.*   115,946    1,320,625 
V2X, Inc.*   66,316    2,928,515 
         34,174,382 
Air Freight & Logistics - 0.4%          
GXO Logistics, Inc.*   41,302    2,161,334 
Radiant Logistics, Inc.*   162,292    910,458 
         3,071,792 
Airlines - 1.9%          
Alaska Air Group, Inc.*   98,886    5,076,807 
Allegiant Travel Co.*   71,320    6,135,660 
JetBlue Airways Corp.*   593,203    4,745,624 
         15,958,091 
Auto Components - 1.5%          
Goodyear Tire & Rubber Co. (The)*   401,103    4,512,409 
Modine Manufacturing Co.*   187,676    4,483,580 
Superior Industries International, Inc.*   521,973    2,949,147 
         11,945,136 
Banks - 2.9%          
Ameris Bancorp   97,661    4,605,693 
Independent Bank Group, Inc.   87,403    5,357,804 
Old National Bancorp   226,377    3,961,597 
Seacoast Banking Corp. of Florida   169,970    5,457,737 
Texas Capital Bancshares, Inc.*   68,019    4,494,015 
         23,876,846 
Biotechnology - 1.0%          
CareDx, Inc.*   310,420    4,637,675 
Ironwood Pharmaceuticals, Inc.*   343,169    3,953,307 
         8,590,982 
Building Products - 1.4%          
AZEK Co., Inc. (The)*   150,485    3,631,203 
Gibraltar Industries, Inc.*   50,056    2,681,500 
Insteel Industries, Inc.   55,499    1,664,415 
PGT Innovations, Inc.*   39,664    860,709 
Quanex Building Products Corp.   111,192    2,878,761 
         11,716,588 
Capital Markets - 0.2%          
Ashford, Inc., REIT*   5,188    70,142 
B Riley Financial, Inc.   35,660    1,523,752 
         1,593,894 
Chemicals - 2.0%          
AdvanSix, Inc.   85,866    3,712,846 
Huntsman Corp.   168,095    5,326,931 
Livent Corp.*   173,083    4,486,311 
LSB Industries, Inc.*   246,233    3,129,621 
         16,655,709 
Commercial Services & Supplies - 2.2%          
ARC Document Solutions, Inc.   104,736    365,529 
Harsco Corp.*   183,978    1,460,785 
Heritage-Crystal Clean, Inc.*   150,162    5,586,026 
Kimball International, Inc., Class B   249,427    1,845,760 
Performant Financial Corp.*   821,991    2,663,251 
Quest Resource Holding Corp.*   208,784    1,440,610 
VSE Corp.   90,056    4,944,074 
         18,306,035 
Communications Equipment - 2.8%          
ADTRAN Holdings, Inc.   164,356    3,101,398 
Aviat Networks, Inc.*   161,290    5,217,731 
CalAmp Corp.*   546,274    2,529,248 
Ceragon Networks Ltd. (Israel)*   404,010    840,341 
Comtech Telecommunications Corp.   90,791    1,439,945 
Digi International, Inc.*   25,234    857,704 
DZS, Inc.*   272,611    3,462,160 
Lantronix, Inc.*   341,535    1,724,752 
Lumentum Holdings, Inc.*   41,094    2,473,037 
PCTEL, Inc.*   366,085    1,694,973 
         23,341,289 
Construction & Engineering - 1.0%          
Ameresco, Inc., Class A*   58,445    3,767,949 
Arcosa, Inc.   37,049    2,195,894 
Bowman Consulting Group Ltd.*   43,920    1,119,521 
Orion Group Holdings, Inc.*   431,237    1,237,650 
         8,321,014 
Diversified Consumer Services - 1.2%          
American Public Education, Inc.*   195,958    2,373,052 
Lincoln Educational Services Corp.*   436,972    2,774,772 
Regis Corp.*   1,399,895    2,295,828 
Universal Technical Institute, Inc.*   347,871    2,636,862 
         10,080,514 
Electrical Equipment - 1.3%          
Babcock & Wilcox Enterprises, Inc.*   214,776    1,426,113 
EnerSys   22,899    1,901,075 
Generac Holdings, Inc.*   44,627    5,382,016 
LSI Industries, Inc.   129,337    1,775,797 
Orion Energy Systems, Inc.*   328,699    545,640 
         11,030,641 
Electronic Equipment, Instruments & Components - 3.6%          
Advanced Energy Industries, Inc.   52,938    4,909,470 
Airgain, Inc.*   229,830    1,838,640 
Avnet, Inc.   90,762    4,164,160 
Belden, Inc.   50,031    4,057,014 
Coherent Corp.*   151,479    6,574,189 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Small Cap Opportunity Fund

Schedule of Investments

January 31, 2023

 

Investments  Shares   Value ($) 
Fabrinet (Thailand)*   19,133    2,519,051 
Iteris, Inc.*   439,914    1,627,682 
TTM Technologies, Inc.*   246,731    3,878,611 
VIA Optronics AG, ADR (Germany)*   163,472    504,311 
         30,073,128 
Energy Equipment & Services - 3.7%          
Archrock, Inc.   77,432    767,351 
DMC Global, Inc.*   132,302    3,008,547 
Helix Energy Solutions Group, Inc.*   339,115    2,689,182 
Helmerich & Payne, Inc.   13,580    657,815 
Liberty Energy, Inc., Class A   175,655    2,780,619 
Newpark Resources, Inc.*   251,551    1,142,042 
NexTier Oilfield Solutions, Inc.*   156,285    1,472,205 
NOV, Inc.   153,061    3,740,811 
Oil States International, Inc.*   489,267    4,188,125 
ProPetro Holding Corp.*   406,475    4,044,426 
RPC, Inc.   225,179    2,233,776 
US Silica Holdings, Inc.*   277,204    3,392,977 
         30,117,876 
Equity Real Estate Investment Trusts (REITs) - 4.0%          
Alexander & Baldwin, Inc.   204,952    4,103,139 
Armada Hoffler Properties, Inc.   397,084    5,035,025 
Braemar Hotels & Resorts, Inc.   378,647    2,006,829 
Chatham Lodging Trust   151,667    2,155,188 
Macerich Co. (The)   204,684    2,812,358 
Park Hotels & Resorts, Inc.   127,671    1,878,041 
Pebblebrook Hotel Trust   122,490    2,008,836 
Physicians Realty Trust   346,595    5,496,997 
Tanger Factory Outlet Centers, Inc.   193,662    3,700,881 
Whitestone REIT   398,881    4,152,351 
         33,349,645 
Food & Staples Retailing - 0.5%          
Chefs' Warehouse, Inc. (The)*   94,999    3,631,812 
Natural Grocers by Vitamin Cottage, Inc.   68,853    683,710 
         4,315,522 
Food Products - 0.9%          
Hain Celestial Group, Inc. (The)*   70,292    1,442,392 
Ingredion, Inc.   16,281    1,673,687 
Real Good Food Co., Inc. (The), Class A*   259,000    1,440,040 
Utz Brands, Inc.   146,908    2,447,487 
         7,003,606 
Health Care Equipment & Supplies - 2.2%          
Accuray, Inc.*   299,605    755,005 
Artivion, Inc.*   165,513    2,158,289 
Neuronetics, Inc.*   299,437    1,760,690 
Orthofix Medical, Inc.*   74,847    1,618,941 
QuidelOrtho Corp.*   37,862    3,241,366 
Sientra, Inc.*   88,016    186,594 
Sight Sciences, Inc.*   327,677    3,771,562 
Tactile Systems Technology, Inc.*   330,103    4,281,436 
         17,773,883 
Health Care Providers & Services - 5.8%          
Acadia Healthcare Co., Inc.*   18,489    1,553,446 
AdaptHealth Corp.*   85,443    1,831,043 
Addus HomeCare Corp.*   11,583    1,245,404 
Amedisys, Inc.*   57,074    5,516,773 
Brookdale Senior Living, Inc.*   880,574    2,536,053 
Community Health Systems, Inc.*   1,140,936    5,955,686 
Enhabit, Inc.*   163,523    2,511,713 
InfuSystem Holdings, Inc.*   128,488    1,287,450 
Option Care Health, Inc.*   77,048    2,224,376 
Owens & Minor, Inc.*   80,811    1,595,209 
Patterson Cos., Inc.   186,591    5,633,182 
Pennant Group, Inc. (The)*   178,649    2,311,718 
Quipt Home Medical Corp.*   309,135    1,792,983 
RadNet, Inc.*   63,560    1,337,938 
Select Medical Holdings Corp.   67,079    1,949,987 
Surgery Partners, Inc.*   78,863    2,618,252 
Tenet Healthcare Corp.*   114,227    6,265,351 
         48,166,564 
Health Care Technology - 0.6%          
Health Catalyst, Inc.*   104,910    1,458,249 
HealthStream, Inc.*   72,210    1,746,038 
iCAD, Inc.*   644,272    1,475,383 
         4,679,670 
Hotels, Restaurants & Leisure - 4.3%          
BJ's Restaurants, Inc.*   118,604    3,744,328 
Bloomin' Brands, Inc.   146,114    3,543,265 
Cheesecake Factory, Inc. (The)   134,469    5,277,908 
Chuy's Holdings, Inc.*   157,922    5,405,670 
Cracker Barrel Old Country Store, Inc.   27,372    3,054,168 
Denny's Corp.*   371,004    4,459,468 
Noodles & Co., Class A*   297,698    1,872,520 
Potbelly Corp.*   415,012    3,315,946 
Ruth's Hospitality Group, Inc.   123,724    2,141,662 
Six Flags Entertainment Corp.*   93,101    2,499,762 
         35,314,697 
Household Durables - 3.8%          
Beazer Homes USA, Inc.*   274,144    4,487,737 
Cavco Industries, Inc.*   16,523    4,396,770 
Century Communities, Inc.   84,839    5,192,147 
Dixie Group, Inc. (The)*   213,469    191,866 
LGI Homes, Inc.*   56,436    6,425,239 
MDC Holdings, Inc.   42,107    1,589,960 
Skyline Champion Corp.*   60,892    3,589,583 
Snap One Holdings Corp.*   114,120    1,094,411 
Sonos, Inc.*   28,857    532,123 
Toll Brothers, Inc.   56,310    3,349,882 
Vizio Holding Corp., Class A*   22,025    192,939 
         31,042,657 
Insurance - 1.1%          
Old Republic International Corp.   169,910    4,483,925 
Stewart Information Services Corp.   100,723    4,811,538 
         9,295,463 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Small Cap Opportunity Fund

Schedule of Investments

January 31, 2023

 

Investments  Shares   Value ($) 
Interactive Media & Services - 0.9%          
Cars.com, Inc.*   208,047    3,557,604 
EverQuote, Inc., Class A*   97,090    1,514,604 
QuinStreet, Inc.*   173,074    2,653,224 
         7,725,432 
Internet & Direct Marketing Retail - 0.5%          
CarParts.com, Inc.*   541,097    3,690,281 
           
IT Services - 0.5%          
Squarespace, Inc., Class A*   179,716    4,262,863 
           
Leisure Products - 0.6%          
Clarus Corp.   132,732    1,333,957 
Topgolf Callaway Brands Corp.*   157,288    3,851,983 
         5,185,940 
Machinery - 5.1%          
Astec Industries, Inc.   91,421    4,035,323 
Barnes Group, Inc.   83,699    3,704,518 
Blue Bird Corp.*   179,956    2,609,362 
CIRCOR International, Inc.*   201,871    5,581,733 
Columbus McKinnon Corp.   138,185    4,967,751 
EnPro Industries, Inc.   27,342    3,310,296 
John Bean Technologies Corp.   26,858    3,000,844 
Luxfer Holdings plc (United Kingdom)   145,397    2,406,320 
Manitex International, Inc.*   192,628    785,922 
Park-Ohio Holdings Corp.   121,274    1,606,881 
Shyft Group, Inc. (The)   100,908    3,359,227 
Trinity Industries, Inc.   84,291    2,425,052 
Wabash National Corp.   153,996    3,966,937 
         41,760,166 
Media - 0.4%          
Magnite, Inc.*   183,799    2,220,292 
Marchex, Inc., Class B*   468,344    960,105 
         3,180,397 
Metals & Mining - 3.1%          
Carpenter Technology Corp.   116,370    5,619,507 
Century Aluminum Co.*   330,783    3,718,001 
Coeur Mining, Inc.*   319,099    1,241,295 
Commercial Metals Co.   76,486    4,150,895 
Ferroglobe plc*   631,951    3,001,767 
Haynes International, Inc.   54,646    3,043,236 
Hecla Mining Co.   731,520    4,513,479 
         25,288,180 
Mortgage Real Estate Investment Trusts (REITs) - 0.3%          
Ladder Capital Corp.   238,102    2,666,742 
           
Oil, Gas & Consumable Fuels - 3.8%          
Alto Ingredients, Inc.*   461,565    1,564,705 
Callon Petroleum Co.*   115,723    4,924,014 
Chesapeake Energy Corp.   25,532    2,214,135 
Dorian LPG Ltd.   104,736    2,079,010 
Earthstone Energy, Inc., Class A*   246,700    3,429,130 
Enviva, Inc.   108,868    4,951,317 
Matador Resources Co.   33,064    2,187,514 
Navigator Holdings Ltd.*   312,408    4,033,187 
PBF Energy, Inc., Class A   27,346    1,148,258 
Permian Resources Corp.   206,534    2,245,025 
SM Energy Co.   67,993    2,234,930 
         31,011,225 
Paper & Forest Products - 0.6%          
Louisiana-Pacific Corp.   73,913    5,032,736 
           
Pharmaceuticals - 0.9%          
Assertio Holdings, Inc.*   646,137    2,655,623 
Pacira BioSciences, Inc.*   67,075    2,634,035 
Societal CDMO, Inc.*   1,296,163    1,685,012 
         6,974,670 
Professional Services - 0.4%          
GEE Group, Inc.*   1,027,770    515,940 
Heidrick & Struggles International, Inc.   78,084    2,401,864 
         2,917,804 
Road & Rail - 0.6%          
Daseke, Inc.*   415,751    2,901,942 
Heartland Express, Inc.   142,240    2,392,477 
         5,294,419 
Semiconductors & Semiconductor Equipment - 8.5%          
Alpha & Omega Semiconductor Ltd.*   134,875    4,445,480 
Amkor Technology, Inc.   154,193    4,511,687 
Amtech Systems, Inc.*   273,715    2,964,334 
Axcelis Technologies, Inc.*   54,952    6,041,973 
Cohu, Inc.*   120,642    4,352,763 
Diodes, Inc.*   28,298    2,523,899 
Everspin Technologies, Inc.*   78,388    540,877 
FormFactor, Inc.*   210,943    5,935,936 
Ichor Holdings Ltd.*   161,528    5,459,646 
inTEST Corp.*   345,346    4,489,498 
Kulicke & Soffa Industries, Inc. (Singapore)   95,037    4,856,391 
MKS Instruments, Inc.   57,584    5,891,995 
Onto Innovation, Inc.*   65,711    5,168,170 
SMART Global Holdings, Inc.*   224,895    3,865,945 
Ultra Clean Holdings, Inc.*   152,365    5,127,082 
Veeco Instruments, Inc.*   214,549    4,260,943 
         70,436,619 
Software - 2.3%          
Digital Turbine, Inc.*   195,570    3,395,095 
Everbridge, Inc.*   152,000    4,857,920 
SecureWorks Corp., Class A*   394,073    3,160,466 
Synchronoss Technologies, Inc.*   838,972    656,915 
Upland Software, Inc.*   294,580    2,571,683 
Yext, Inc.*   380,504    2,644,503 
Zeta Global Holdings Corp., Class A*   205,810    1,868,755 
         19,155,337 
Specialty Retail - 3.7%          
America's Car-Mart, Inc.*   68,838    5,929,705 
Container Store Group, Inc. (The)*   487,081    2,537,692 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Small Cap Opportunity Fund

Schedule of Investments

January 31, 2023

 

Investments  Shares   Value ($) 
Lithia Motors, Inc., Class A   25,727    6,771,346 
LL Flooring Holdings, Inc.*   176,626    1,070,354 
RH*   10,745    3,352,333 
Sonic Automotive, Inc., Class A   10,038    539,141 
Sportsman's Warehouse Holdings, Inc.*   384,726    3,627,966 
Tile Shop Holdings, Inc.*   257,429    1,287,145 
Tilly's, Inc., Class A*   272,250    2,412,135 
Zumiez, Inc.*   99,186    2,561,974 
         30,089,791 
Textiles, Apparel & Luxury Goods - 1.2%          
Allbirds, Inc., Class A*   531,168    1,460,712 
Skechers USA, Inc., Class A*   19,431    935,603 
Steven Madden Ltd.   99,505    3,567,254 
Unifi, Inc.*   484,956    4,146,374 
         10,109,943 
Thrifts & Mortgage Finance - 1.0%          
Axos Financial, Inc.*   38,085    1,832,650 
NMI Holdings, Inc., Class A*   95,670    2,222,414 
Radian Group, Inc.   99,624    2,201,691 
Walker & Dunlop, Inc.   19,400    1,850,372 
         8,107,127 
Trading Companies & Distributors - 4.2%          
Air Lease Corp.   154,862    6,964,144 
FTAI Aviation Ltd.   177,899    3,977,822 
H&E Equipment Services, Inc.   52,239    2,658,443 
Herc Holdings, Inc.   33,326    5,176,194 
NOW, Inc.*   227,719    3,197,175 
Titan Machinery, Inc.*   93,263    4,097,976 
Univar Solutions, Inc.*   130,690    4,506,191 
WESCO International, Inc.*   26,828    3,997,640 
         34,575,585 
TOTAL COMMON STOCKS
(Cost $702,413,096)
        767,260,881 

 

Investments  Number of Rights   Value ($) 
RIGHTS - 0.0% (a)          
           
IT Services - 0.0% (a)          
Flexion, Inc., CVR*‡ (b)
 (Cost $27,802)
   44,841     

 

Investments  Shares   Value ($) 
SHORT-TERM INVESTMENTS - 7.2%          
           
INVESTMENT COMPANIES - 7.2%          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (c)          
 (Cost $59,450,121)   59,450,121    59,450,121 
           
Total Investments - 100.2%
 (Cost $761,891,019)
        826,711,002 
Liabilities in excess of other assets - (0.2%)        (1,261,170)
Net Assets - 100.0%        825,449,832 

 

* Non-income producing security.
Value determined using significant unobservable inputs.
(a) Represents less than 0.05% of net assets.
(b) Security fair valued as of January 31, 2023 in accordance with procedures approved by the Board of Trustees. Total value of all such securities at January 31, 2023 amounted to $0, which represents approximately 0.00% of net assets of the Fund.
(c) Represents 7-day effective yield as of January 31, 2023.

 

Abbreviations
ADR American Depositary Receipt
CVR Contingent Value Rights
REIT Real Estate Investment Trust

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Small Cap Opportunity Fund

Schedule of Investments

January 31, 2023

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Aerospace & Defense   4.1%
Air Freight & Logistics   0.4 
Airlines   1.9 
Auto Components   1.5 
Banks   2.9 
Biotechnology   1.0 
Building Products   1.4 
Capital Markets   0.2 
Chemicals   2.0 
Commercial Services & Supplies   2.2 
Communications Equipment   2.8 
Construction & Engineering   1.0 
Diversified Consumer Services   1.2 
Electrical Equipment   1.3 
Electronic Equipment, Instruments & Components   3.6 
Energy Equipment & Services   3.7 
Equity Real Estate Investment Trusts (REITs)   4.0 
Food & Staples Retailing   0.5 
Food Products   0.9 
Health Care Equipment & Supplies   2.2 
Health Care Providers & Services   5.8 
Health Care Technology   0.6 
Hotels, Restaurants & Leisure   4.3 
Household Durables   3.8 
Insurance   1.1 
Interactive Media & Services   0.9 
Internet & Direct Marketing Retail   0.5 
IT Services   0.5 
Leisure Products   0.6 
Machinery   5.1 
Media   0.4 
Metals & Mining   3.1 
Mortgage Real Estate Investment Trusts (REITs)   0.3 
Oil, Gas & Consumable Fuels   3.8 
Paper & Forest Products   0.6 
Pharmaceuticals   0.9 
Professional Services   0.4 
Road & Rail   0.6 
Semiconductors & Semiconductor Equipment   8.5 
Software   2.3 
Specialty Retail   3.7 
Textiles, Apparel & Luxury Goods   1.2 
Thrifts & Mortgage Finance   1.0 
Trading Companies & Distributors   4.2 
Short-Term Investments   7.2 
Total Investments   100.2%

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle U.S. Smid Cap Opportunity Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
COMMON STOCKS - 99.2%
         
Aerospace & Defense - 3.6%          
Curtiss-Wright Corp.   164    27,191 
Mercury Systems, Inc.*   401    20,044 
         47,235 
Air Freight & Logistics - 1.1%          
GXO Logistics, Inc.*   272    14,234 
           
Airlines - 1.4%          
JetBlue Airways Corp.*   2,277    18,216 
           
Auto Components - 1.1%          
Goodyear Tire & Rubber Co. (The)*   1,328    14,940 
           
Banks - 5.9%          
Ameris Bancorp   495    23,344 
Independent Bank Group, Inc.   311    19,064 
Seacoast Banking Corp. of Florida   612    19,651 
Texas Capital Bancshares, Inc.*   235    15,527 
         77,586 
Biotechnology - 0.9%          
CareDx, Inc.*   790    11,803 
           
Building Products - 2.8%          
AZEK Co., Inc. (The)*   531    12,813 
Lennox International, Inc.   93    24,238 
         37,051 
Capital Markets - 1.7%          
B Riley Financial, Inc.   296    12,648 
Raymond James Financial, Inc.   87    9,811 
         22,459 
Chemicals - 3.3%          
Chemours Co. (The)   520    18,923 
Huntsman Corp.   527    16,700 
Westlake Corp.   65    7,979 
         43,602 
Communications Equipment - 1.9%          
Ciena Corp.*   469    24,397 
           
Construction & Engineering - 0.9%          
Ameresco, Inc., Class A*   180    11,605 
           
Electrical Equipment - 4.1%          
EnerSys   253    21,004 
Generac Holdings, Inc.*   266    32,080 
         53,084 
Electronic Equipment, Instruments & Components - 3.3%          
Belden, Inc.   211    17,110 
Coherent Corp.*   584    25,346 
         42,456 
Energy Equipment & Services - 1.2%          
Liberty Energy, Inc., Class A   1,006    15,925 
           
Food & Staples Retailing - 4.1%          
Casey's General Stores, Inc.   107    25,243 
Performance Food Group Co.*   460    28,207 
         53,450 
Food Products - 1.5%          
Ingredion, Inc.   193    19,840 
           
Health Care Equipment & Supplies - 2.3%          
QuidelOrtho Corp.*   180    15,410 
Zimmer Biomet Holdings, Inc.   116    14,771 
         30,181 
Health Care Providers & Services - 7.5%          
Amedisys, Inc.*   171    16,529 
Cardinal Health, Inc.   373    28,814 
Owens & Minor, Inc.*   157    3,099 
Quest Diagnostics, Inc.   158    23,460 
Select Medical Holdings Corp.   116    3,372 
Tenet Healthcare Corp.*   416    22,818 
         98,092 
Hotels, Restaurants & Leisure - 8.9%          
Aramark   567    25,248 
Bloomin' Brands, Inc.   181    4,389 
Cheesecake Factory, Inc. (The)   694    27,239 
Chuy's Holdings, Inc.*   426    14,582 
Cracker Barrel Old Country Store, Inc.   188    20,977 
Denny's Corp.*   1,177    14,148 
Vail Resorts, Inc.   37    9,707 
         116,290 
Household Durables - 3.3%          
Beazer Homes USA, Inc.*   796    13,030 
LGI Homes, Inc.*   200    22,770 
Toll Brothers, Inc.   132    7,853 
         43,653 
Insurance - 1.5%          
Old Republic International Corp.   760    20,056 
           
Internet & Direct Marketing Retail - 1.5%          
Chewy, Inc., Class A*   445    20,052 
           
IT Services - 0.5%          
Amdocs Ltd.   66    6,067 
           
Leisure Products - 1.5%          
Topgolf Callaway Brands Corp.*   800    19,592 
           
Life Sciences Tools & Services - 1.6%          
Avantor, Inc.*   626    14,962 
PerkinElmer, Inc.   42    5,776 
         20,738 
Machinery - 3.5%          
Donaldson Co., Inc.   59    3,679 

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle U.S. Smid Cap Opportunity Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
Dover Corp.   88    13,361 
Flowserve Corp.   605    20,824 
Ingersoll Rand, Inc.   140    7,840 
         45,704 
Metals & Mining - 2.4%          
Cleveland-Cliffs, Inc.*   1,477    31,534 
           
Oil, Gas & Consumable Fuels - 7.7%          
Chesapeake Energy Corp.   311    26,970 
HF Sinclair Corp.   424    24,126 
Matador Resources Co.   384    25,405 
Permian Resources Corp.   413    4,489 
SM Energy Co.   608    19,985 
         100,975 
Pharmaceuticals - 1.1%          
Pacira BioSciences, Inc.*   366    14,373 
           
Road & Rail - 1.2%          
XPO, Inc.*   375    14,947 
           
Semiconductors & Semiconductor Equipment - 6.3%          
Amkor Technology, Inc.   635    18,580 
MKS Instruments, Inc.   269    27,524 
ON Semiconductor Corp.*   303    22,255 
Onto Innovation, Inc.*   176    13,843 
         82,202 
Specialty Retail - 2.8%          
Advance Auto Parts, Inc.   25    3,807 
Lithia Motors, Inc., Class A   98    25,793 
RH*   23    7,176 
         36,776 
Textiles, Apparel & Luxury Goods - 1.4%          
Deckers Outdoor Corp.*   10    4,275 
Skechers USA, Inc., Class A*   94    4,526 
Steven Madden Ltd.   270    9,679 
         18,480 
Thrifts & Mortgage Finance - 3.4%          
Radian Group, Inc.   816    18,033 
Rocket Cos., Inc., Class A   1,204    11,330 
Walker & Dunlop, Inc.   157    14,975 
         44,338 
Trading Companies & Distributors - 2.0%          
Air Lease Corp.   580    26,083 
           
TOTAL COMMON STOCKS
(Cost $1,280,745)
        1,298,016 

 

SHORT-TERM INVESTMENTS - 3.7%          
           
INVESTMENT COMPANIES - 3.7%          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (a)          
 (Cost $49,019)   49,019    49,019 
           
Total Investments - 102.9%
 (Cost $1,329,764)
        1,347,035 
Liabilities in excess of other assets - (2.9%)        (37,799)
Net Assets - 100.0%        1,309,236 

 

* Non-income producing security.
(a) Represents 7-day effective yield as of January 31, 2023.

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle U.S. Smid Cap Opportunity Fund
Schedule of Investments
January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Aerospace & Defense   3.6%
Air Freight & Logistics   1.1 
Airlines   1.4 
Auto Components   1.1 
Banks   5.9 
Biotechnology   0.9 
Building Products   2.8 
Capital Markets   1.7 
Chemicals   3.3 
Communications Equipment   1.9 
Construction & Engineering   0.9 
Electrical Equipment   4.1 
Electronic Equipment, Instruments & Components   3.3 
Energy Equipment & Services   1.2 
Food & Staples Retailing   4.1 
Food Products   1.5 
Health Care Equipment & Supplies   2.3 
Health Care Providers & Services   7.5 
Hotels, Restaurants & Leisure   8.9 
Household Durables   3.3 
Insurance   1.5 
Internet & Direct Marketing Retail   1.5 
IT Services   0.5 
Leisure Products   1.5 
Life Sciences Tools & Services   1.6 
Machinery   3.5 
Metals & Mining   2.4 
Oil, Gas & Consumable Fuels   7.7 
Pharmaceuticals   1.1 
Road & Rail   1.2 
Semiconductors & Semiconductor Equipment   6.3 
Specialty Retail   2.8 
Textiles, Apparel & Luxury Goods   1.4 
Thrifts & Mortgage Finance   3.4 
Trading Companies & Distributors   2.0 
Short-Term Investments   3.7 
Total Investments   102.9%

 

See Notes to Schedule of Investments.(Continued)

 

 

First Eagle Global Real Assets Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Investments  Shares   Value ($) 
COMMON STOCKS - 83.2%
         
Australia - 2.8%
Glencore plc   53,934    361,190 
           
Belgium - 0.8%          
Shurgard Self Storage SA   2,139    103,216 
           
Brazil - 1.8%          
Wheaton Precious Metals Corp.   5,139    234,983 
           
Canada - 10.1%          
Barrick Gold Corp.   4,402    86,085 
Canadian National Railway Co.   1,695    201,762 
Canadian Pacific Railway Ltd.   2,343    184,932 
Franco-Nevada Corp.   1,242    182,181 
Imperial Oil Ltd.   4,652    254,251 
Nutrien Ltd.   3,567    295,268 
StorageVault Canada, Inc.   18,394    88,891 
         1,293,370 
Faroe Islands - 0.9%          
Bakkafrost P/F   1,908    118,394 
           
France - 0.9%          
Air Liquide SA   719    114,484 
           
Germany - 1.9%          
FUCHS PETROLUB SE (Preference)   6,027    240,443 
           
Hong Kong - 4.0%          
CK Asset Holdings Ltd.   31,000    198,199 
Guoco Group Ltd.   4,000    36,860 
Hongkong Land Holdings Ltd.   38,400    187,729 
Hysan Development Co. Ltd.   27,000    90,840 
         513,628 
Ireland - 1.3%          
CRH plc   3,502    163,622 
           
Israel - 0.8%          
ICL Group Ltd.   12,657    100,876 
           
Japan - 4.0%          
Kansai Paint Co. Ltd.   5,000    70,415 
Komatsu Ltd.   10,700    262,947 
Mitsubishi Estate Co. Ltd.   6,700    86,116 
Shin-Etsu Chemical Co. Ltd.   600    88,454 
         507,932 
Mexico - 2.8%          
GMexico Transportes SAB de CV (a)   17,003    36,840 
Grupo Mexico SAB de CV, Series B   71,013    315,798 
         352,638 
Netherlands - 1.0%          
Shell plc   4,563    133,825 
           
Russia - 0.0%          
Alrosa PJSC*‡ (b)   48,132     
           
Singapore - 1.6%          
UOL Group Ltd.   39,600    211,289 
           
Spain - 1.4%          
Aena SME SA* (a)   1,186    178,195 
           
United Kingdom - 5.5%          
Berkeley Group Holdings plc   2,109    107,997 
Big Yellow Group plc, REIT   6,688    99,753 
Great Portland Estates plc, REIT   6,061    42,555 
Severn Trent plc   2,886    100,435 
United Utilities Group plc   27,170    355,522 
         706,262 
United States - 41.6%          
American Homes 4 Rent, Class A, REIT   7,587    260,158 
American Water Works Co., Inc.   215    33,645 
Ball Corp.   725    42,224 
Boston Properties, Inc., REIT   1,472    109,723 
Charter Communications, Inc., Class A*   550    211,371 
Chevron Corp.   1,869    325,243 
Comcast Corp., Class A   1,669    65,675 
Cummins, Inc.   488    121,776 
Deere & Co.   140    59,198 
Douglas Emmett, Inc., REIT   5,079    85,073 
DR Horton, Inc.   1,296    127,902 
EOG Resources, Inc.   581    76,837 
Equinix, Inc., REIT   218    160,912 
Equity Residential, REIT   3,409    216,983 
Extra Space Storage, Inc., REIT   410    64,710 
Exxon Mobil Corp.   3,214    372,856 
HCA Healthcare, Inc.   607    154,828 
Home Depot, Inc. (The)   190    61,592 
IDACORP, Inc.   1,190    125,914 
Mid-America Apartment Communities, Inc., REIT   902    150,382 
National Energy Services Reunited Corp.*   13,733    103,822 
Newmont Corp.   1,426    75,478 
NOV, Inc.   16,633    406,511 
Phillips 66   1,818    182,291 
PPG Industries, Inc.   924    120,434 
Royal Gold, Inc.   1,588    201,724 
RPM International, Inc.   2,121    190,699 
SBA Communications Corp., REIT   742    220,767 
Schlumberger Ltd.   7,691    438,233 
Terreno Realty Corp., REIT   908    58,502 
UGI Corp.   6,226    247,982 
Walmart, Inc.   438    63,015 

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Real Assets Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

  

Investments  Shares   Value ($) 
Williams Cos., Inc. (The)   6,154    198,405 
         5,334,865 
TOTAL COMMON STOCKS
(Cost $10,048,346)
        10,669,212 

 

Investments  Ounces   Value ($) 
COMMODITIES - 9.0%          
           
Gold bullion*          
(Cost $1,072,790)   602    1,159,832 

 

Investments  Shares   Value ($) 
MASTER LIMITED PARTNERSHIPS - 3.3%          
           
United States - 3.3%          
Enterprise Products Partners LP   8,726    223,386 
Magellan Midstream Partners LP   3,671    196,031 
TOTAL MASTER LIMITED PARTNERSHIPS
(Cost 374,834)
        419,417 

 

Investments  Shares   Value ($) 
EXCHANGE TRADED FUNDS - 1.6%          
           
United States          
iShares Gold Trust*          
 (Cost $189,043)   5,566    203,660 

 

Investments  Principal
Amount ($)
   Value ($) 
U.S. TREASURY OBLIGATIONS - 0.9%          
           
U.S. Treasury Inflation Linked Notes          
0.13%, 4/15/2027
(Cost $121,281)
   119,500    118,992 

 

Investments  Shares   Value ($) 
SHORT-TERM INVESTMENTS - 1.6%          
           
INVESTMENT COMPANIES - 1.6%          
JP Morgan U.S. Government Money Market Fund, Capital Shares, 4.20% (c)
(Cost $206,133)
   206,133    206,133 
           
Total Investments - 99.6%
 (Cost $12,012,427)
        12,777,246 
Other assets less liabilities - 0.4%        55,781 
Net Assets - 100.0%        12,833,027 

 

* Non-income producing security.
Value determined using significant unobservable inputs.
(a) Security exempt from registration pursuant to Regulation S under the Securities Act of 1933. Regulation S applies to securities offerings that are made outside of the United States and do not involve direct selling efforts in the United States and as such may have restrictions on resale.
(b) Security fair valued as of January 31, 2023 in accordance with procedures approved by the Board of Trustees. Total value of all such securities at January 31, 2023 amounted to $0, which represents approximately 0.00% of net assets of the Fund.
(c) Represents 7-day effective yield as of January 31, 2023.

 

Abbreviations
PJSC Public Joint Stock Company
Preference A special type of equity investment that shares in the earnings of the company, has limited voting rights, and may have a dividend preference. Preference shares may also have liquidation preference.
REIT Real Estate Investment Trust

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

First Eagle Global Real Assets Fund
Consolidated Schedule of Investments
January 31, 2023 (unaudited)

 

Industry Diversification for Portfolio Holdings  Percent of Net
Assets
 
Chemicals   9.5%
Commodities   9.0 
Commodity Funds   1.6 
Construction Materials   1.3 
Containers & Packaging   0.3 
Electric Utilities   1.0 
Energy Equipment & Services   7.4 
Equity Real Estate Investment Trusts (REITs)   11.5 
Food & Staples Retailing   0.5 
Food Products   0.9 
Gas Utilities   1.9 
Health Care Providers & Services   1.2 
Household Durables   1.8 
Industrial Conglomerates   0.3 
Machinery   3.5 
Media   2.2 
Metals & Mining   11.4 
Oil, Gas & Consumable Fuels   15.3 
Real Estate Management & Development   7.5 
Road & Rail   3.3 
Specialty Retail   0.5 
Transportation Infrastructure   1.4 
U.S. Treasury Obligations   0.9 
Water Utilities   3.8 
Short-Term Investments   1.6 
Total Investments   99.6%

 

See Notes to Consolidated Schedule of Investments.(Continued)

 

 

FIRST EAGLE FUNDS

NOTES TO SCHEDULES OF INVESTMENTS (unaudited)

 

First Eagle Funds (the “Trust”), is an open-end management investment company registered under the Investment Company Act of 1940, as amended (“1940 Act”). As of January 31, 2023, the Trust consists of ten separate portfolios, the First Eagle Global Fund, First Eagle Overseas Fund, First Eagle U.S. Value Fund, First Eagle Gold Fund, First Eagle Global Income Builder Fund, First Eagle High Income Fund, First Eagle Fund of America (renamed First Eagle Rising Dividend Fund as of March 1, 2023), First Eagle Small Cap Opportunity Fund, First Eagle U.S. Smid Cap Opportunity Fund and First Eagle Global Real Assets Fund (each individually a “Fund” or collectively the “Funds”). All the Funds are diversified mutual funds except for First Eagle Gold Fund and First Eagle Fund of America, which are non-diversified. The Trust is a Delaware statutory trust. The First Eagle Global Fund seeks long-term growth of capital by investing in a range of asset classes from markets in the United States and throughout the world. The First Eagle Overseas Fund seeks long-term growth of capital by investing primarily in equities issued by non-U.S. corporations. The First Eagle U.S. Value Fund seeks long-term growth of capital by investing, under normal market conditions, at least 80% of its net assets (plus any borrowings for investment purposes) in domestic equity and debt securities. The First Eagle Gold Fund seeks to provide investors the opportunity to participate in the investment characteristics of gold (and to a limited extent other precious metals) for a portion of their overall investment portfolio. The First Eagle Global Income Builder Fund seeks current income generation and long-term growth of capital. The First Eagle High Income Fund seeks to provide investors with a high level of current income. The First Eagle Fund of America seeks capital appreciation and current income by investing primarily in domestic stocks and, to a lesser extent, in debt and foreign equity instruments. The First Eagle Small Cap Opportunity Fund seeks long-term growth of capital. The First Eagle U.S. Smid Cap Opportunity Fund seeks long-term growth of capital by investing, under normal circumstances, in equity securities of small- and mid-cap (“smid cap”) companies in an attempt to take advantage of what the Adviser believes are opportunistic situations for undervalued securities. The First Eagle Global Real Assets Fund seeks long-term growth of capital.

 

The Funds offer seven share classes, Class A shares, Class C shares, Class I shares, Class R3 shares, Class R4 shares, Class R5 shares and Class R6 shares, except for the First Eagle Small Cap Opportunity Fund, First Eagle U.S. Smid Cap Opportunity Fund and First Eagle Global Real Assets Fund, which offer Class A shares, Class I shares and Class R6 shares only. On February 28, 2022, First Eagle Fund of America’s Class Y shares converted into Class A shares. As a result, Class Y shares were terminated.

 

 

 

First Eagle Investment Management, LLC (the “Adviser”), a subsidiary of First Eagle Holdings, Inc. (“First Eagle Holdings”), manages the Funds. A controlling interest in First Eagle Holdings is owned by BCP CC Holdings L.P., a Delaware limited partnership (“BCP CC Holdings”). BCP CC Holdings GP L.L.C., a Delaware limited liability company (“BCP CC Holdings GP”), is the general partner of BCP CC Holdings and has two managing members, Blackstone Capital Partners VI L.P. (“BCP VI”) and Corsair IV Financial Services Capital Partners L.P. (“Corsair IV”). BCP VI and Corsair IV are indirectly controlled by Blackstone Inc. (“Blackstone”) and Corsair Capital LLC (“Corsair”), respectively. Investment vehicles indirectly controlled by Blackstone and Corsair and certain co-investors own a majority economic interest in First Eagle Holdings and the Adviser through BCP CC Holdings.

 

The following is a summary of significant accounting policies that are adhered to by the Funds. The Funds are investment companies and, accordingly, follow the investment company accounting and reporting guidance of the Financial Accounting Standards Board Accounting Standards Codification Topic 946 — Investment Companies, which is part of U.S. generally accepted accounting principles (“GAAP”).

 

a)Investments in Subsidiaries — The First Eagle Global Fund (the “Global Fund”), First Eagle Overseas Fund (the “Overseas Fund”), First Eagle U.S. Value Fund (the “U.S. Value Fund”), First Eagle Gold Fund (the “Gold Fund”) and First Eagle Global Real Assets Fund (the “Global Real Assets Fund”) may invest in certain precious metals through their investment in the First Eagle Global Cayman Fund, Ltd., First Eagle Overseas Cayman Fund, Ltd., First Eagle U.S. Value Cayman Fund, Ltd., First Eagle Gold Cayman Fund, Ltd., and First Eagle Global Real Assets Cayman Fund, Ltd., respectively, each a wholly owned subsidiary (each referred to herein as a “Subsidiary” or collectively “the Subsidiaries”). Each Fund may invest up to 25% of its total assets in shares of its respective Subsidiary. Each Subsidiary has the ability to invest in commodities and securities consistent with the invest- ment objective of its respective Fund. Substantially all of each Subsidiary’s assets represent physical gold bullion, and First Eagle Gold Cayman Fund, Ltd. also holds physical silver. Trading in bullion directly by the Funds presents the risk of tax consequences (e.g., a change in the Funds’ tax status subjecting the Funds to be taxed at the Fund level on all of their income if the Funds’ “non- qualifying income” exceeds 10% of the Funds’ gross income in any taxable year). Trading in bullion by the Subsidiaries generally does not present the same tax risks.

 

The First Eagle Global Cayman Fund, Ltd., established on October 18, 2013, is an exempted company under the laws of the Cayman Islands. The consolidated schedule of investments include the accounts of the Global Fund and the First Eagle Global Cayman Fund, Ltd. All intercompany transactions and balances have been eliminated. As of January 31, 2023, the First Eagle Global Cayman Fund, Ltd. has $4,742,830,152 in net assets, representing 9.86% of the Global Fund’s net assets.

 

The First Eagle Overseas Cayman Fund, Ltd., established on October 18, 2013, is an exempted company under the laws of the Cayman Islands. The consolidated schedule of investments include the accounts of the Overseas Fund and the First Eagle Overseas Cayman Fund, Ltd. All intercompany transactions and balances have been eliminated. As of January 31, 2023, the First Eagle Overseas Cayman Fund, Ltd. has $1,013,015,712 in net assets, representing 7.92% of the Overseas Fund’s net assets.

 

 

 

The First Eagle U.S. Value Cayman Fund, Ltd., established on January 24, 2012, is an exempted company under the laws of the Cayman Islands. The consolidated schedule of investments include the accounts of the U.S. Value Fund and the First Eagle U.S. Value Cayman Fund, Ltd. All intercompany transactions and balances have been eliminated. As of January 31, 2023, the First Eagle U.S. Value Cayman Fund, Ltd. has $139,804,528 in net assets, representing 11.46% of the U.S. Value Fund’s net assets.

 

The First Eagle Gold Cayman Fund, Ltd., established on May 28, 2010, is an exempted company under the laws of the Cayman Islands. The consolidated schedule of investments include the accounts of the Gold Fund and the First Eagle Gold Cayman Fund, Ltd. All intercompany transactions and balances have been eliminated. As of January 31, 2023, the First Eagle Gold Cayman Fund, Ltd. has $410,602,039 in net assets, representing 17.77% of the Gold Fund’s net assets.

 

The First Eagle Global Real Assets Cayman Fund, Ltd., established on September 9, 2021, is an exempted company under the laws of the Cayman Islands. The consolidated schedule of investments include the accounts of the Global Real Assets Fund and the First Eagle Global Real Assets Cayman Fund, Ltd. All intercompany transactions and balances have been eliminated. As of January 31, 2023, the First Eagle Global Real Assets Cayman Fund, Ltd. has $1,362,074 in net assets, representing 10.61% of the Global Real Assets Fund’s net assets.

 

b)Investment Valuation — Each Fund computes its net asset value once daily as of the close of trading on each day the New York Stock Exchange (“NYSE”) is open for trading. The net asset value per share is computed by dividing the total current value of the assets of a Fund, less its liabilities, by the total number of shares outstanding at the time of such computation.

 

A portfolio security (including an option or warrant), other than a bond, which is traded on a U.S. national securities exchange or a securities exchange abroad is generally valued at the price of the official close (last quoted sales price if an official closing price is not available) as of the local market close on the primary exchange. If there are no round lot sales on such date, such security will be valued at the mean between the closing bid and asked prices (and if there is only a bid or only an asked price on such date, valuation will be at such bid or asked price for long or short positions, respectively). Securities, other than bonds, traded in the over-the-counter market are valued at the mean between the last bid and asked prices prior to the time of valuation (and if there is only a bid or only an asked price on such date, valuation will be at such bid or asked price for long or short positions, respectively), except if such unlisted security is traded on the NASDAQ in which case it is valued at the NASDAQ Official Closing Price. Such prices are provided by approved pricing vendors or other independent pricing sources.

 

 

 

All bonds, whether listed on an exchange or traded in the over-counter-market for which market quotations are readily available are generally priced at the evaluated bid price provided by an approved pricing service as of the close of the NYSE (normally 4:00 p.m. Eastern Time), or dealers in the over-the-counter markets in the United States or abroad. Pricing services and broker-dealers use multiple valuation techniques to determine value. In instances where sufficient market activity exists, dealers or pricing services utilize a market-based approach through which quotes from market makers are used to determine fair value. In instances where sufficient market activity may not exist or is limited, the dealers or pricing services also utilize proprietary valuation models which may consider market transactions in comparable securities and the various relationships between securities in determining value and/or market characteristics such as benchmark yield curves, option-adjusted spreads, credit spreads, estimated default rates, coupon-rates, anticipated timing of principal repayments, underlying collateral, and other unique security features in order to estimate the relevant cash flows, which are then discounted to calculate the fair values. The Adviser’s Valuation Committee, at least annually, will review the pricing service’s inputs, methods, models and assumptions for its evaluated prices. Short-term debt maturing in 60 days or less is valued at evaluated bid prices.

 

Commodities (such as physical metals) are valued at a calculated evaluated mean price, as provided by an independent price source as of the close of the NYSE.

 

Forward foreign currency exchange contracts are valued at the current cost of covering or offsetting such contracts, by reference to forward currency rates at the time the NYSE closes, as provided by an independent pricing source.

 

The spot exchange rates, as provided by an independent price source as of the close of the NYSE, are used to convert foreign security prices into U.S. dollars.

 

Any security that is listed or traded on more than one exchange (or traded in multiple markets) is valued at the official close on the primary exchange or market on which they are traded. In the absence of such a quotation, a security may be valued at the last quoted sales price on the most active exchange or market as determined by the independent pricing agent. The Funds use pricing services to identify the market prices of publicly traded securities in their portfolios. When market prices are determined to be “stale” as a result of limited market activity for a particular holding or have been materially affected by events occurring after the close of trading on the exchange or market on which the security is principally traded but before the Fund’s NAV is calculated, or in other circumstances when market quotations are not readily available within the meaning of applicable regulations, such as for private placements, or determined to be unreliable for a particular holding, such holdings may be “fair valued” in accordance with procedures adopted by the Board of Trustees (“Board”). The values assigned to a Fund’s holdings therefore may differ on occasion from reported market values.

 

 

 

Additionally, trading of foreign equity securities on most foreign markets is completed before the close in trading in the U.S. markets. The Funds have implemented fair value pricing on a daily basis for all foreign securities, as available, to account for the market movement between the close of the foreign market and the close of the NYSE. The fair value pricing utilizes factors provided by an independent pricing service. The values assigned to a Fund’s holdings therefore may differ on occasion from reported market values, especially during periods of higher market price volatility. The Board and the Adviser believe relying on the procedures as just described will result in prices that are more reflective of the actual market value of portfolio securities held by the Funds than relying solely on reported market values.

 

The Funds adopted provisions surrounding fair value measurements and disclosures that define fair value, establish a framework for measuring fair value in GAAP and expand disclosures about fair value measurements. This applies to fair value measurements that are already required or permitted by other accounting standards and is intended to increase consistency of those measurements and applies broadly to securities and other types of assets and liabilities.

 

The Funds disclose the fair value of their investments in a hierarchy that prioritizes the inputs or assumptions to valuation techniques used to measure fair value. These inputs are used in determining the value of the Funds’ investments and are summarized in the following fair value hierarchy:

 

Level 1 — Quoted prices in active markets for identical securities.

Level 2 — Other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

Level 3 — Other significant unobservable inputs (including the Fund’s own assumption in determining the fair value of investments).

 

The significant unobservable inputs that may be used in determining valuations for investments identified within Level 3 are market comparables and the enterprise value of a company. Indications of value and quotations may be observable at any given time, but are currently treated by the Funds as unobservable. Significant changes in any of the unobservable inputs may significantly impact the fair value measurement. The impact is based on the relationship between each unobservable input and the fair value measurement.

 

Significant increases (decreases) in enterprise multiples may increase (decrease) the fair value measurement. Significant increases (decreases) in the discount for marketability, probability of insolvency and probability of default may decrease (increase) the fair value measurement.

 

Fair valuation of securities, other financial investments or other assets (collectively, “securities”) held by the Funds are determined in good faith by the Adviser as “valuation designee” under the oversight of the Board. The Board Valuation, Liquidity and Allocations Committee (the “Committee”) oversees the execution of the valuation and liquidity procedures for the Funds. Effective September 8, 2022, and in accordance with Rule 2a-5 under the 1940 Act, the Funds’ Board has designated the Adviser the “valuation designee” to perform the Fund’s fair value determinations. The Adviser’s fair valuation process is subject to Board oversight and certain reporting and other requirements and the Funds’ fair valuation policy has been revised to incorporate changes required by Rule 2a-5.

 

 

 

The following is a summary of the Funds’ inputs used to value the Funds’ investments as of January 31, 2023:

 

First Eagle Global Fund

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Common Stocks   $23,956,927,516   $14,597,469,579(a)  $   $38,554,397,095 
Corporate Bonds            4,961,302(b)   4,961,302 
Commodities *        5,330,702,334        5,330,702,334 
Foreign Government Securities        501,394,183        501,394,183 
Short-Term Investments    221,835    3,671,117,543        3,671,339,378 
Total  $23,957,149,351   $24,100,683,639   $4,961,302   $48,062,794,292 
                     
Liabilities:                    
Forward Foreign Currency Exchange Contracts**   $   $(14,427,036)  $   $(14,427,036)
Total  $   $(14,427,036)  $   $(14,427,036)

 

(a) The Fund has implemented fair value pricing on a daily basis for all foreign securities, as available, to account for the market movement between the close of the foreign market and the close of the NYSE. See Note 1 for additional details.
(b) These investments are valued by brokers and pricing services. The inputs for these investments are not readily available or cannot be reasonably estimated and are generally those inputs described in Note 1.
See Consolidated Schedule of Investments for additional detailed categorizations.
Value determined using significant unobservable inputs.
* Represents gold bullion.
** Forward Foreign Currency Exchange Contracts are valued at net unrealized appreciation (depreciation) on the contracts.

 

Fair Value Level 3 activity for the three-month period ended January 31, 2023 was as follows:

 

   Corporate
Bonds
   Foreign
Government
Securities
   Total 
Beginning Balance —market value  $5,207,318   $131,252,430   $136,459,748 
Purchases(1)            
Sales(2)            
Transfer In — Level 3            
Transfer Out — Level 3       (131,252,430)(a)   (131,252,430)
Accrued discounts/ (premiums)   12,439        12,439 
Realized Gains (Losses)            
Change in Unrealized Appreciation (Depreciation)   (258,455)       (258,455)
Ending Balance — market value  $4,961,302   $   $4,961,302 
Change in unrealized gains or (losses) relating to assets still held at reporting date  $(258,455)  $   $(258,455)

 

(a) Transfers from Level 3 to Level 2 are due to an increase in market activity, e.g., frequency of trades, which resulted in an increase in available market inputs to determine the price.

(1) Purchases include all purchases of securities and securities received in corporate actions.

(2) Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.

 

 

 

First Eagle Overseas Fund

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Common Stocks   $2,618,589,987   $7,806,374,699(a)  $15,197,108  $10,440,161,794 
Commodities *        1,397,788,020        1,397,788,020 
Foreign Government Securities        276,869,929        276,869,929 
Short-Term Investments    70,420    503,470,316        503,540,736 
Total  $2,618,660,407   $9,984,502,964   $15,197,108   $12,618,360,479 
                     
Liabilities:                    
Forward Foreign Currency Exchange Contracts**   $   $(7,719,272)  $   $(7,719,272)
Total  $   $(7,719,272)  $   $(7,719,272)

 

(a) The Fund has implemented fair value pricing on a daily basis for all foreign securities, as available, to account for the market movement between the close of the foreign market and the close of the NYSE. See Note 1 for additional details.
See Consolidated Schedule of Investments for additional detailed categorizations.
Value determined using significant unobservable inputs.
* Represents gold bullion.
** Forward Foreign Currency Exchange Contracts are valued at net unrealized appreciation (depreciation) on the contracts.

 

Fair Value Level 3 activity for the three-month period ended January 31, 2023 was as follows:

 

   Common
Stocks
   Foreign
Government
Security
  

Total

 
Beginning Balance —market value  $14,924,062   $128,237,726   $143,161,788 
Purchases(1)            
Sales(2)            
Transfer In — Level 3            
Transfer Out — Level 3       (128,237,726)(a)   (128,237,726)
Accrued discounts/ (premiums)            
Realized Gains (Losses)            
Change in Unrealized Appreciation (Depreciation)   273,046        273,046 
Ending Balance — market value  $15,197,108   $   $15,197,108 
Change in unrealized gains or (losses) relating to assets still held at reporting date  $273,046   $   $273,046 

 

(a) Transfers from Level 3 to Level 2 are due to an increase in market activity, e.g., frequency of trades, which resulted in an increase in available market inputs to determine the price.

(1) Purchases include all purchases of securities and securities received in corporate actions.

(2) Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.

 

Quantitative Information about Level 3 Fair Value Measurements

 

   Fair Value as of
January 31, 2023
   Valuation Technique(s)  Unobservable Input  Range (Weighted
Average)
  Direction Change in Fair Value
Resulting from Increase in
Unobservable Input (a)
Common Stocks   15,197,108   Market Comparable Companies  Enterprise Value Multiple  0.36X - 9.35X (4.88X)  Increase
Total   15,197,108             
                  
(a) This column represents the direction change in the fair value of Level 3 securities that would result from an increase to the corresponding unobservable inputs. A decrease to the unobservable input would have the opposite effect. Significant increases and decreases of these inputs could result in significantly higher or lower gain value determination.

 

 

 

First Eagle U.S. Value Fund

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Common Stocks   $903,177,570   $3,755,328(a)  $   $906,932,898 
Convertible Preferred Stocks    5,287,850            5,287,850 
Corporate Bonds        656,063    4,356,693(b)   5,012,756 
Commodities *        139,839,718        139,839,718 
Master Limited Partnerships    33,959,106            33,959,106 
Short-Term Investments    14,346    129,008,570        129,022,916 
Total  $942,438,872   $273,259,679   $4,356,693   $1,220,055,244 

 

(a) The Fund has implemented fair value pricing on a daily basis for all foreign securities, as available, to account for the market movement between the close of the foreign market and the close of the NYSE. See Note 1 for additional details.
(b) These investments are valued by brokers and pricing services. The inputs for these investments are not readily available or cannot be reasonably estimated and are generally those inputs described in Note 1.
See Consolidated Schedule of Investments for additional detailed categorizations.
Value determined using significant unobservable inputs.
* Represents gold bullion.

 

Fair Value Level 3 activity for the three-month period ended January 31, 2023 was as follows:

 

   Corporate Bonds 
Beginning Balance —market value  $3,954,544 
Purchases(1)    
Sales(2)    
Transfer In — Level 3    
Transfer Out — Level 3    
Accrued discounts/ (premiums)   27,623 
Realized Gains (Losses)    
Change in Unrealized Appreciation (Depreciation)   374,526 
Ending Balance — market value  $4,356,693 
Change in unrealized gains or (losses) relating to assets still held at reporting date  $374,526 

 

(1) Purchases include all purchases of securities and securities received in corporate actions.

(2) Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.

 

First Eagle Gold Fund        

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Common Stocks   $1,657,725,613   $173,279,803(a)  $   $1,831,005,416 
Commodities *        410,770,929        410,770,929 
Rights    4,340,649            4,340,649 
Short-Term Investments    51,714    44,073,319        44,125,033 
Total  $1,662,117,976   $628,124,051   $   $2,290,242,027 

 

(a) The Fund has implemented fair value pricing on a daily basis for all foreign securities, as available, to account for the market movement between the close of the foreign market and the close of the NYSE. See Note 1 for additional details.
See Consolidated Schedule of Investments for additional detailed categorizations.
* Represents gold and silver bullion.

 

 

 

First Eagle Global Income Builder Fund

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Common Stocks   $505,901,112   $556,620,846(a)  $   $1,062,521,958 
Convertible Preferred Stocks    27,051,746            27,051,746 
Corporate Bonds        155,865,983    12,165,434(b)   168,031,417 
Closed End Funds        13,777,191        13,777,191 
Commodities *        108,732,506        108,732,506 
Foreign Government Securities        28,506,270        28,506,270 
Loan Assignments        1,488,435        1,488,435 
Master Limited Partnerships    62,586,797            62,586,797 
Preferred Stocks    19,538,700            19,538,700 
U.S. Treasury Obligations        151,549,384        151,549,384 
Short-Term Investments    6,455    18,820,574        18,827,029 
Total  $615,084,810   $1,035,361,189   $12,165,434   $1,662,611,433 
                     
Liabilities:                    
Forward Foreign Currency Exchange Contracts**   $   $(540,949)  $   $(540,949)
Written Options    (2,722,460)           (2,722,460)
Total  $(2,722,460)  $(540,949)  $   $(3,263,409)

 

(a) The Fund has implemented fair value pricing on a daily basis for all foreign securities, as available, to account for the market movement between the close of the foreign market and the close of the NYSE. See Note 1 for additional details.
(b) These investments are valued by brokers and pricing services. The inputs for these investments are not readily available or cannot be reasonably estimated and are generally those inputs described in Note 1.
See Schedule of Investments for additional detailed categorizations.
Value determined using significant unobservable inputs.
* Represents gold bullion.
** Forward Foreign Currency Exchange Contracts are valued at net unrealized appreciation (depreciation) on the contracts.

 

Fair Value Level 3 activity for the three-month period ended January 31, 2023 was as follows:

 

   Corporate
Bonds
   Foreign Government
Securities
   Total 
Beginning Balance —market value  $10,795,940   $7,890,932   $18,686,872 
Purchases(1)            
Sales(2)            
Transfer In — Level 3            
Transfer Out — Level 3       (7,890,932)(a)   (7,890,932)
Accrued discounts/ (premiums)   21,155        21,155 
Realized Gains (Losses)            
Change in Unrealized Appreciation (Depreciation)   1,348,339        1,348,339 
Ending Balance — market value  $12,165,434   $   $12,165,434 
Change in unrealized gains or (losses) relating to assets still held at reporting date  $1,348,339   $   $1,348,339 

 

(a) Transfers from Level 3 to Level 2 are due to an increase in market activity, e.g., frequency of trades, which resulted in an increase in available market inputs to determine the price.

(1) Purchases include all purchases of securities and securities received in corporate actions.

(2) Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.

 

 

 

First Eagle High Income Fund        

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Corporate Bonds   $   $160,335,132   $3,345,356(b)  $163,680,488 
Loan Assignments        2,806,951        2,806,951 
Short-Term Investments    4,679    15,392,016        15,396,695 
Total  $4,679   $178,534,099   $3,345,356   $181,884,134 

 

(b) These investments are valued by brokers and pricing services. The inputs for these investments are not readily available or cannot be reasonably estimated and are generally those inputs described in Note (b).
See Schedule of Investments for additional detailed categorizations.
Value determined using significant unobservable inputs.

 

Fair Value Level 3 activity for the three-month period ended January 31, 2023 was as follows:

 

   Corporate Bonds 
Beginning Balance —market value  $2,968,761 
Purchases(1)    
Sales(2)    
Transfer In — Level 3    
Transfer Out — Level 3    
Accrued discounts/ (premiums)   2,658 
Realized Gains (Losses)    
Change in Unrealized Appreciation (Depreciation)   373,937 
Ending Balance — market value  $3,345,356 
Change in unrealized gains or (losses) relating to assets still held at reporting date  $373,937 

 

(1) Purchases include all purchases of securities and securities received in corporate actions.

(2) Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.

 

First Eagle Fund of America        

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Common Stocks   $341,585,047   $16,707,010(a)  $   $358,292,057 
Master Limited Partnerships    15,234,297            15,234,297 
Short-Term Investments    1,857    4,359,438        4,361,295 
Total  $356,821,201   $21,066,448   $   $377,887,649 

 

(a) The Fund has implemented fair value pricing on a daily basis for all foreign securities, as available, to account for the market movement between the close of the foreign market and the close of the NYSE. See Note 1 for additional details.
See Schedule of Investments for additional detailed categorizations.

 

 

 

First Eagle Small Cap Opportunity Fund        

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Common Stocks   $767,260,881   $   $   $767,260,881 
Rights            ^    
Short-Term Investments    59,450,121            59,450,121 
Total  $826,711,002   $   $   $826,711,002 

 

See Schedule of Investments for additional detailed categorizations.
Value determined using significant unobservable inputs.
^ Fair value represents zero.

 

Fair Value Level 3 activity for the three-month period ended January 31, 2023 was as follows:

 

   Rights  
Beginning Balance —market value  $^
Purchases(1)    
Sales(2)    
Transfer In — Level 3    
Transfer Out — Level 3    
Accrued discounts/ (premiums)    
Realized Gains (Losses)    
Change in Unrealized Appreciation (Depreciation)    
Ending Balance — market value  $^
Change in unrealized gains or (losses) relating to assets still held at reporting date  $ 

 

(1)Purchases include all purchases of securities and securities received in corporate actions.
(2)Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.
^ Fair value represents zero.

 

Quantitative Information about Level 3 Fair Value Measurements

 

    Fair Value as of
January 31, 2023
   Valuation Technique(s)  Unobservable Input  Range (Weighted
Average)
  Direction Change in Fair Value
Resulting from Increase in
Unobservable Input (a)
Rights   -^  Discounted Cash Flow  Estimated probability of the company hitting specified milestones  0% (0%)  Increase
Total   -^            
                  
^  Fair value represents zero.
(a) This column represents the direction change in the fair value of Level 3 securities that would result from an increase to the corresponding unobservable inputs. A decrease to the unobservable input would have the opposite effect. Significant increases and decreases of these inputs could result in significantly higher or lower gain value determination.

 

 

 

First Eagle U.S. Smid Cap Opportunity Fund

 

Description†  Level 1   Level 2   Level 3   Total 
Assets:                    
Common Stocks   $1,298,016   $   $   $1,298,016 
Short-Term Investments    49,019            49,019 
Total  $1,347,035   $   $   $1,347,035 

 

See Schedule of Investments for additional detailed categorizations.

 

First Eagle Global Real Assets Fund 

 

Description†   Level 1     Level 2     Level 3     Total  
Assets:                                
Common Stocks   $ 7,359,287     $ 3,309,925 (a)   $ ^   $ 10,669,212  
Commodities *           1,159,832             1,159,832  
Exchange-Traded Funds     203,660                   203,660  
Master Limited Partnerships     419,417                   419,417  
U.S. Treasury Obligations           118,992             118,992  
Short-Term Investments     206,133                   206,133  
Total   $ 8,188,497     $ 4,588,749     $     $ 12,777,246  

  

(a) The Fund has implemented fair value pricing on a daily basis for all foreign securities, as available, to account for the market movement between the close of the foreign market and the close of the NYSE. See Note 1 for additional details.
See Consolidated Schedule of Investments for additional detailed categorizations.
Value determined using significant unobservable inputs.
* Represents gold bullion.
^ Fair value represents zero.

 

Fair Value Level 3 activity for the three-month period ended January 31, 2023 was as follows:

 

    Common Stocks  
Beginning Balance —market value   $ ^
Purchases(1)      
Sales(2)      
Transfer In — Level 3      
Transfer Out — Level 3      
Accrued discounts/ (premiums)      
Realized Gains (Losses)      
Change in Unrealized Appreciation (Depreciation)      
Ending Balance — market value   $ ^
Change in unrealized gains or (losses) relating to assets still held at reporting date   $  

 

  (1) Purchases include all purchases of securities and securities received in corporate actions.
  (2) Sales include all sales of securities, maturities, paydowns and securities tendered in corporate actions.
^ Fair value represents zero.

 

Quantitative Information about Level 3 Fair Value Measurements

 

      Fair Value as of
January 31, 2023
    Valuation Technique(s)   Unobservable Input   Range (Weighted
Average)
  Direction Change in Fair Value
Resulting from Increase in
Unobservable Input (a)
Common Stocks     -^     Discounted Cash Flow   Estimated Recoverability   0% (0%)   Increase
Total     -^                  
                         
^ Fair value represents zero.
(a) This column represents the direction change in the fair value of Level 3 securities that would result from an increase to the corresponding unobservable inputs. A decrease to the unobservable input would have the opposite effect. Significant increases and decreases of these inputs could result in significantly higher or lower gain value determination.

 

c)

Forward Foreign Currency Exchange Contracts — In connection with portfolio purchases and sales of securities denominated in foreign currencies, each Fund may enter into forward foreign currency exchange contracts. The First Eagle Global Fund, First Eagle Overseas Fund, First Eagle Global Income Builder Fund, First Eagle High Income Fund and First Eagle Global Real Assets Fund enter into forward foreign currency exchange contracts primarily to manage and/or gain exposure to certain foreign currencies. The Funds’ currency transactions include portfolio hedging on portfolio positions. Portfolio hedging is the use of a forward foreign currency exchange contract (or other cash management position) with respect to one or more portfolio security positions denominated or quoted in a particular currency. Currency exchange transactions involve currencies of different countries that the Funds invest in and serve as hedges against possible variations in the exchange rates between these currencies and the U.S. dollar. Each Fund may engage in portfolio hedging with respect to the currency of a particular country in amounts approximating actual or anticipated positions in securities denominated in that currency. Hedging can reduce expo- sure to currency exchange movements, but cannot eliminate that exposure. It is possible to lose money under a hedge.

  
d)Funds investing in forward foreign currency exchange contracts are exposed to risk if the value of the currency changes unfavorably, if the counterparties to the contracts are unable to meet the terms of their contracts or if the Fund is unable to enter into a closing position. Forward foreign currency exchange contracts outstanding at period end, if any, are listed after each Fund’s portfolio. For the period ended January 31, 2023, the average monthly outstanding currency purchased or sold in U.S. dollars for forward foreign currency exchange contracts held by the Funds were as follows:

 

Derivatives Volume Disclosure

 

   First Eagle
Global Fund
   First Eagle
Overseas Fund
   First Eagle
Global Income
Builder Fund
 
Forward Foreign Currency Exchange Contracts:               
Average Settlement Value — Sold   434,227,725    221,778,758    15,352,414 

 

The Funds adopted provisions surrounding disclosures of derivative instruments and hedging activities which require qualitative disclosures about objectives and strategies for using derivatives, quantitative disclosures about fair value amounts of gains and losses on derivative instruments, and disclosures about currency-risk-related contingent features in derivative agreements.

 

In order to better define its contractual rights and to secure rights that may help the Funds mitigate counterparty risk, the Funds may enter into an International Swaps and Derivatives Association, Inc. Master Agreement (“ISDA Master Agreement”) or similar agreement with derivative contract counterparties. An ISDA Master Agreement is a bilateral agreement between a Fund and a counterparty that governs over-the-counter (“OTC”) derivatives and forward foreign currency exchange contracts and typically contains, among other things, collateral posting terms and netting provisions in the event of a default and/or termination event. Under an ISDA Master Agreement, the Funds may, under certain circumstances, offset with the counterparty certain derivative financial instrument’s payables and/or receivables with collateral held and/or posted and create one single net payment. With respect to certain counterparties, in accordance with the terms of the ISDA Master Agreement, the Funds may be required to post or receive collateral in the form of cash or debt securities issued by the U.S. Government or related agencies. Daily movement of cash collateral is subject to minimum threshold amounts. Cash collateral that has been pledged to cover obligations of a Fund, if any, is reported separately on the Statements of Assets and Liabilities as cash pledged. Non-cash collateral pledged by a Fund, if any, is noted in the Schedules of Investments. Collateral received by the Funds is held in a segregated account at the Funds’ custodian bank. These amounts are not reflected on the Funds’ Statements of Assets and Liabilities and are disclosed in the table below. The provisions of the ISDA Master Agreement typically permit a single net payment in the event of default (close-out netting) including the bankruptcy or insolvency of the counterparty. Note, however, that bankruptcy or insolvency laws of a particular jurisdiction may impose restrictions on or prohibitions against the right of offset in bankruptcy, insolvency or other events.

 

 

 

For financial reporting purposes, the Funds do not offset derivative assets and derivative liabilities that are subject to netting arrangements in the Statements of Asset and Liabilities.

 

At January 31, 2023, the Funds had the following forward foreign currency exchange contracts grouped into appropriate risk categories illustrated below:

 

First Eagle Global Fund  

 

           Derivative Gain (Loss)
Recognized
in Income
 
Risk Type  Asset Derivative
Fair Value
   Liability Derivative
Fair Value
   Net realized Gains
(Losses)
   Change in
Appreciation
(Depreciation)
 
Foreign currency  $               –   $14,427,036   $(13,062,049)  $(13,830,523)

 

First Eagle Overseas Fund  

 

           Derivative Gain (Loss)
Recognized
in Income
 
Risk Type  Asset Derivative
Fair Value
   Liability Derivative
Fair Value
   Net realized Gains
(Losses)
   Change in
Appreciation
(Depreciation)
 
Foreign currency  $               –   $7,719,272   $(6,200,742)  $(7,465,844)

 

First Eagle Global Income Builder Fund  

 

           Derivative Gain (Loss)
Recognized
in Income
 
Risk Type  Asset Derivative
Fair Value
   Liability Derivative
Fair Value
   Net realized Gains
(Losses)
   Change in
Appreciation
(Depreciation)
 
Foreign currency  $               –   $540,949   $(415,686)  $(523,882)

 

 

 

The following tables present each Fund’s gross derivative assets and liabilities by counterparty net of amounts available for offset under netting arrangements and any related collateral received or pledged by each fund as of January 31, 2023:

 

First Eagle Global Fund  

 

Counterparty  Gross Amount
of Liabilities
Presented in the
Statement of
Assets and Liabilities
   Derivatives
Available for
Offset
   Collateral Pledged*   Net Amount
(Not Less Than $0)
 
Bank of New York Mellon  $4,019,718   $                –   $   $4,019,718 
Goldman Sachs   3,526,163        (3,454,917)   71,246 
JPMorgan Chase Bank   2,807,148        (2,767,346)   39,802 
UBS AG   4,074,007            4,074,007 
   $14,427,036   $   $(6,222,263)  $8,204,773 

 

First Eagle Overseas Fund  

 

Counterparty  Gross Amount
of Liabilities
Presented in the
Statement of
Assets and Liabilities
   Derivatives
Available for
Offset
   Collateral Pledged*   Net Amount
(Not Less Than $0)
 
Bank of New York Mellon  $2,353,680   $                –   $   $2,353,680 
Goldman Sachs   1,712,439        (1,658,248)   54,191 
JPMorgan Chase Bank   1,267,686        (1,233,720)   33,966 
UBS AG   2,385,467            2,385,467 
   $7,719,272   $   $(2,891,968)  $4,827,304 

 

First Eagle Global Income Builder Fund  

 

Counterparty  Gross Amount
of Liabilities
Presented in the
Statement of
Assets and Liabilities
   Derivatives
Available for
Offset
   Collateral Pledged*   Net Amount
(Not Less Than $0)
 
Bank of New York Mellon  $160,882   $                –   $   $160,882 
Goldman Sachs   129,172        (110,092)   19,080 
JPMorgan Chase Bank   87,841        (75,545)   12,296 
UBS AG   163,054            163,054 
   $540,949   $   $(185,637)  $355,312 

 

*The actual collateral received/pledged may be more than the amount reported due to over collateralization.

 

 

 

e)Options — In order to seek to produce incremental earnings or protect against declines in the value of portfolio securities, each Fund may write “covered” call options on portfolio securities. The Funds may also use options for speculative purposes, although they generally do not employ options for this purpose.

 

Options contracts are valued daily based upon the official closing price on the relevant exchange on which the option is traded. If there is no official closing price, the mean between the last bid and asked prices may be used. When an option is exercised, the proceeds on the sale of a written call option are adjusted by the amount of premium received or paid. When a written option expires, the Funds will realize a gain equal to the amount of the premium received. When the Funds enter into a closing purchase transaction, the Funds will realize a gain (or loss, if the cost of the closing purchase transaction exceeds the premium received when the option was written) without regard to any unrealized gain or loss on the underlying security and the liability related to such option is eliminated.

 

In general, a call option is covered if a Fund holds, on a share-for-share basis, either the underlying shares or a call on the same security as the call written where the exercise price of the call held is equal to or less than the exercise price of the call written (or greater than the exercise price of the call written if the difference is maintained by the Funds in cash, Treasury bills or other high grade short-term obligations earmarked with its custodian). One reason for writing options is to attempt to realize, through the receipt of premiums, a greater return than would be realized on the securities alone. Another reason for writing options is to hedge against a moderate decline in the value of securities owned by a Fund in the case of a call option. If an increase occurs in the underlying security or stock index sufficient to result in the exercise of a call written by a Fund, it may be required to deliver securities or cash and may thereby forego some or all of the gain that otherwise may have been realized on the securities underlying the call option. This “opportunity cost” may be partially or wholly offset by the premium received for the covered call written by a Fund. The risk in writing a covered call option is that a Fund gives up the opportunity for profit if the market price of the underlying security increases and the option is exercised. A Fund also has the additional risk of not being able to enter into a closing transaction if a liquid secondary market does not exist.

 

A Fund may also write over-the-counter options where the completion of the obligation is dependent upon the credit standing of the counterparty.

 

Rule 18f-4 under the 1940 Act, implemented on August 19, 2022, permits the Funds to enter into Derivatives Transactions (as defined below) and certain other transactions notwithstanding the restrictions on the issuance of “senior securities” under Section 18 of the 1940 Act. Section 18 of the 1940 Act, among other things, prohibits open-end funds, including the Funds, from issuing or selling any “senior security,” other than borrowing from a bank (subject to a requirement to maintain 300% “asset coverage”).

 

Under Rule 18f-4, “Derivatives Transactions” include the following: (1) any swap, security-based swap (including a contract for differences), futures contract, forward contract, option (excluding purchased options), any combination of the foregoing, or any similar instrument, under which a Fund is or may be required to make any payment or delivery of cash or other assets during the life of the instrument or at maturity or early termination, whether as margin or settlement payment or otherwise; (2) any short sale borrowing; (3) reverse repurchase agreements and similar financing transactions (e.g., recourse and nonrecourse tender option bonds, and borrowed bonds), if a Fund elects to treat these transactions as Derivatives Transactions under Rule 18f-4; and (4) when issued or forward-settling securities (e.g., firm and standby commitments, including to-be-announced (“TBA”) commitments, and dollar rolls) and nonstandard settlement cycle securities, unless a Fund intends to physically settle the transaction and the transaction will settle within 35 days of its trade date.

 

 

 

Unless a fund is relying on the Limited Derivatives User Exception (as defined below), a fund must comply with Rule 18f-4 with respect to its Derivatives Transactions. Rule 18f-4, among other things, requires a fund to adopt and implement a comprehensive written derivatives risk management program (“DRMP”) and comply with a relative or absolute limit on fund leverage risk calculated based on value-at-risk (“VaR”). The DRMP is administered by a “derivatives risk manager,” who is appointed by the Board, including a majority of Independent Trustees, and periodically reviews the DRMP and reports to the Board.

 

Rule 18f-4 provides an exception from the DRMP, VaR limit and certain other requirements if the Fund’s “derivatives exposure” (as defined in Rule 18f-4) is limited to 10% of its net assets (as calculated in accordance with Rule 18f-4) and the Fund adopts and implements written policies and procedures reasonably designed to manage its derivatives risks (the “Limited Derivatives User Exception”). As of the date hereof, each Fund is relying on the Limited Derivatives User Exception.

 

As of January 31, 2023, portfolio securities valued at $128,868,977 were earmarked to cover collateral requirements for written options for First Eagle Global Income Builder Fund.

 

For the period ended January 31, 2023, the average monthly number of contracts outstanding for written options and purchased options held by the Funds were as follows:

 

   First Eagle
Global Income
Builder Fund
 
Options:     
Average Number of Contracts - Written   16,675 

 

 

 

At January 31, 2023, the Funds had the following options grouped into appropriate risk categories illustrated below:

 

First Eagle Global Income Builder Fund      
       
             Gain or (Loss)
Derivative Recognized
in Income
 
Risk Type     Asset Derivative
Fair Value
    Liability Derivative
Fair Value
   Net realized
Gains (Losses)
   Change in
Appreciation
(Depreciation)
 
Equity — Written options    $   $2,722,460   $ 1,414,290  $1,261,273 

  

f)Repurchase Agreements — The Funds may enter into repurchase agreement transactions with institutions that meet the Adviser’s credit guidelines. Each repurchase agreement is valued at market. The Funds require that the collateral received in a repurchase agreement transaction be transferred to a custodian in a manner sufficient to enable the Funds to obtain collateral in the event of a counterparty default. If the counterparty defaults and the fair value of the collateral declines, realization of the collateral by the Funds may be delayed or limited.

 

g)Bank Loans — A Fund may invest in bank loans, which usually take the form of loan participations and assignments. Loan participations and assignments are agreements to make money available to U.S. or foreign corporations, partner- ships or other business entities (the “Borrower”) in a specified amount, at a specified rate and within a specified time. A loan is typically originated, negotiated and structured by a U.S. or foreign bank, insurance company or other financial institution (the “Agent”) for a group of loan investors (“Loan Investors”). The Agent typically administers and enforces the loan on behalf of the other Loan Investors in the syndicate and may hold any collateral on behalf of the Loan Investors. Such loan participations and assignments are typically senior, secured and collateralized in nature. A Fund records an investment when the Borrower withdraws money and records interest as earned. A Fund generally has no right to enforce compliance with the terms of the loan agreement with the Borrower. As a result, a Fund assumes the credit risk of the Borrower, the selling participant and any intermediary between a Fund and the Borrower (“Intermediate Participants”). In the event that the Borrower, selling participant or Intermediate Participants becomes insolvent or enters into bankruptcy, each Fund may incur certain costs and delays in realizing payment or may suffer a loss of principal and/or interest.

 

h)Treasury Inflation-Protected Securities — The Funds may invest in Treasury Inflation-Protected Securities (“TIPS”) which are specially structured bonds in which the principal amount is adjusted to keep pace with inflation. The principal value of TIPS will be adjusted upward or downward and any increase or decrease in the principal amount of TIPS will be included as interest income in the Statements of Operations, even though investors do not receive their principal until maturity. TIPS are subject to interest rate risk.

 

i)Restricted Securities — The Funds may invest in securities that are subject to legal or contractual restrictions on resale. These securities generally may be resold in transactions exempt from registration or to the public if the securities are registered. Disposal of these securities may involve time-consuming negotiations and expenses, and prompt sale at an acceptable price may be difficult. Information regarding restricted securities, if any, is included at the end of each Fund’s Schedule of Investments.

 

j)New Accounting Pronouncements — In March 2020, the FASB issued Accounting Standard Update (“ASU”) 2020-04, which provides optional guidance to ease the potential accounting burden associated with transitioning away from the London Interbank Offered Rate and other reference rates that are expected to be discontinued. The ASU is effective immediately upon release of the update on March 12, 2020 through December 31, 2022. In December 2022, the FASB issued ASU 2022-06, “Reference Rate Reform (Topic 949)” which extends the effective period of ASU 2020-04 through December 31, 2024. At this time, management is evaluating implications of these changes on the financial statements.

 

In March 2022, the FASB issued ASU 2022-02, “Financial Instruments Credit Losses (Topic 326)”, which is intended to address issues identified during the post implementation review of ASU 2016-3, “Financial Instruments Credit Losses (Topic 326): Measurement of Credit Losses on Financial Instruments”. The amendment, among other things, eliminates the accounting guidance for troubled debt restructurings by creditors in Subtopic 310-40, “Receivables Troubled Debt Restructurings by Creditors”, while enhancing disclosure requirements for certain loan refinancings and restructurings by creditors when a borrower is experiencing financial difficulty. The new guidance is effective for interim and annual periods beginning after December 15, 2022. Management is currently evaluating the impact of the new standard, but does not anticipate the new standard to have a material impact to the financial statements and related disclosure.

 

In June 2022, FASB issued Accounting Standards Update (“ASU”) 2022-03, Fair Value Measurement (Topic 820) — Fair Value Measurement of Equity Securities Subject to Contractual Sale Restrictions. The amendments in the ASU clarify that a contractual restriction on the sale of an equity security is not considered part of the unit of account of the equity security and, therefore, should not be considered in measuring fair value. The ASU is effective for interim and annual reporting periods beginning after December 15, 2023, with the option of early adoption. Management is currently evaluating the impact, if any, of applying this new standard.