0000928816-23-001586.txt : 20231127 0000928816-23-001586.hdr.sgml : 20231127 20231127141616 ACCESSION NUMBER: 0000928816-23-001586 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 20 CONFORMED PERIOD OF REPORT: 20230930 FILED AS OF DATE: 20231127 DATE AS OF CHANGE: 20231127 EFFECTIVENESS DATE: 20231127 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PUTNAM ASSET ALLOCATION FUNDS CENTRAL INDEX KEY: 0000914209 IRS NUMBER: 046746612 STATE OF INCORPORATION: MA FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-07121 FILM NUMBER: 231439629 BUSINESS ADDRESS: STREET 1: 100 FEDERAL STREET CITY: BOSTON STATE: MA ZIP: 02110 BUSINESS PHONE: 6177601000 MAIL ADDRESS: STREET 1: 100 FEDERAL STREET CITY: BOSTON STATE: MA ZIP: 02110 FORMER COMPANY: FORMER CONFORMED NAME: PUTNAM LIFE STAGES ASSET ALLOCATION TRUST DATE OF NAME CHANGE: 19931027 0000914209 S000000780 Putnam Dynamic Asset Allocation Growth Fund C000002319 Class A shares PAEAX C000002320 Class B shares PAEBX C000002321 Class C shares PAECX C000002323 Class R shares PASRX C000002324 Class Y shares PAGYX C000117949 Class R5 C000117950 Class R6 C000174663 Class P Shares N-CSR 1 a_dynamicaagrowth.htm PUTNAM ASSET ALLOCATION FUNDS a_dynamicaagrowth.htm


UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT OF REGISTERED
MANAGEMENT INVESTMENT COMPANIES




Investment Company Act file number: (811-07121)
Exact name of registrant as specified in charter: Putnam Asset Allocation Funds
Address of principal executive offices: 100 Federal Street, Boston, Massachusetts 02110
Name and address of agent for service: Stephen Tate, Vice President
100 Federal Street
Boston, Massachusetts 02110
Copy to:         Bryan Chegwidden, Esq.
Ropes & Gray LLP
1211 Avenue of the Americas
New York, New York 10036
        James E. Thomas, Esq.
Ropes & Gray LLP
800 Boylston Street
Boston, Massachusetts 02199
Registrant’s telephone number, including area code: (617) 292-1000
Date of fiscal year end: September 30, 2023
Date of reporting period: October 1 , 2022 – September 30, 2023



Item 1. Report to Stockholders:

The following is a copy of the report transmitted to stockholders pursuant to Rule 30e-1 under the Investment Company Act of 1940:



 


 

Message from the Trustees

November 6, 2023

Dear Fellow Shareholder:

Equity markets have risen from the depths of the 2022 downturn over the past 12 months. At the same time, the U.S. economy has continued to grow. However, both stocks and bonds have encountered headwinds recently. With the rate of inflation above the Federal Reserve’s target of 2%, the Fed has made it clear that short-term interest rates will remain high heading into 2024. Many experts believe the Fed’s restrictive policy keeps the risk of a recession alive.

Turning to bond markets, performance has been mostly lackluster over the past 12 months. The rise in bond yields since July has challenged many fixed income assets. Against this backdrop, investors are weighing the impact of high borrowing costs and tighter lending conditions at banks.

As active managers, your investment team continues to research attractive opportunities for your fund while monitoring risks. This report offers an update on their efforts.

Thank you for investing with Putnam.



 


Current performance may be lower or higher than the quoted past performance, which cannot guarantee future results. Share price, principal value, and return will fluctuate, and you may have a gain or a loss when you sell your shares. Performance of class A shares assumes reinvestment of distributions and does not account for taxes. Fund returns in the bar chart do not reflect a sales charge of 5.75%; had they, returns would have been lower. See page 3 and pages 8–10 for additional performance information. For a portion of the periods, the fund had expense limitations, without which returns would have been lower. To obtain the most recent month-end performance, visit putnam.com.

All Bloomberg indices are provided by Bloomberg Index Services Limited.

Lipper peer group median is provided by Lipper, an LSEG company.

* Putnam Growth Blended Benchmark is a blended benchmark administered by Putnam Management and comprises 60% the Russell 3000 Index, 15% the MSCI EAFE Index (ND), 15% the Bloomberg U.S. Aggregate Bond Index, 5% the JPMorgan Developed High Yield Index, and 5% the MSCI Emerging Markets Index (GD).

The fund’s secondary benchmark, the Putnam Growth Blended Benchmark, was introduced on 12/31/94, which post-dates the inception of the fund’s class A shares.

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This comparison shows your fund’s performance in the context of broad market indexes for the 12 months ended 9/30/23. See page 2 and pages 8–10 for additional fund performance information. Index descriptions can be found on pages 12–13.

All Bloomberg indices are provided by Bloomberg Index Services Limited.

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Brett, please describe investing conditions for the 12-month reporting period.

Stocks delivered solid gains in a period challenged by many macroeconomic issues. Rising interest rates, the Russian war against Ukraine, and a slowdown in global growth weighed on investor sentiment at times. One of the biggest headwinds for investors was historically high inflation and the efforts by central banks to tame it. Inflation in the U.S. reached 40-year highs, and the U.S. Federal Reserve implemented its most rapid series of interest-rate increases since the early 1980s. Many investors feared the Fed’s aggressive tactics to control inflation would push the economy into a recession.

In late 2022, inflation, as measured by the Consumer Price Index, began to show signs of easing. With the prospect of an end to interest-rate hikes, 2023 began on a bright note and stocks posted solid gains in January. However, recession concerns escalated in February, and new worries emerged in March. The banking industry experienced turmoil with the failures of several U.S. regional banks and a Swiss government-engineered takeover of Credit Suisse by UBS. Despite ongoing issues,

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Allocations are shown as a percentage of the fund’s net assets as of 9/30/23. Cash and net other assets, if any, represent the market value weights of cash, derivatives, short-term securities, and other unclassified assets in the portfolio. Summary information may differ from the portfolio schedule included in the financial statements due to the inclusion of derivative securities, any interest accruals, the exclusion of as-of trades, if any, the use of different classifications of securities for presentation purposes, and rounding. Holdings and allocations may vary over time. Due to rounding, percentages may not equal 100%.


The table shows the fund’s top 10 individual holdings and the percentage of the fund’s net assets that each represented as of 9/30/23. Short-term investments, to-be-announced (TBA) commitments, and derivatives, if any, are excluded. Holdings may vary over time.

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stocks posted gains in June and July 2023, as positive earnings reports were released and data showed inflation continued to ease. Also in 2023, the Fed took a pause on tightening at its June meeting, raised rates in July, and held them steady in September. Fed Chair Jerome Powell stated that the central bank would continue to make data-driven decisions on a meeting-by-meeting basis.

For the 12-month reporting period, U.S. stocks, as measured by the S&P 500 Index, returned 21.62%. Non-U.S. stocks in developed markets, as measured by the MSCI EAFE Index [ND], returned 25.65%. Emerging market stocks, as measured by the MSCI Emerging Markets Index [GD] returned 12.17% for the period.

For the 12-month reporting period, investment-grade bonds returned 0.64%, as measured by the Bloomberg U.S. Aggregate Bond Index. High-yield bonds returned 10.51%, as measured by the JPMorgan Developed High Yield Index. The yield on the benchmark 10-year U.S. Treasury climbed from 3.67% at the start of the period to 4.59% by period-end. Short-term yields rose even more, causing the yield curve to invert. The yield curve remained inverted over the 12 months, which in past economic cycles has been an indicator of a recession to come. [The yield curve is a graphical representation of the yields/interest rates of bonds with equal credit quality but differing maturity dates.]

For the 12-month reporting period, global equities, as measured by the MSCI World Index, posted a gain of 21.95%. Global bonds, as measured by the FTSE® World Government Bond Index, posted a return of 1.04%.

How did the fund perform for the 12 months ended September 30, 2023?

The fund’s class A shares returned 17.03%, underperforming the fund’s primary benchmark, the Russell 3000 Index, which returned 20.46% for the period. The fund slightly underperformed the custom Putnam Growth Blended Benchmark, which returned 17.37% for the period.

What strategies impacted fund performance relative to the custom benchmark during the reporting period?

Overall, our asset allocation decisions weighed on benchmark-relative performance. This was primarily driven by our equity positioning. The fund had a modest underweight exposure to equity risk for the first several months of the period. This weighed on performance in October 2022. In mid-November 2022, we shifted to a further underweight position and maintained this exposure through July 2023, when we then shifted to a modest underweight position. In 2023, this underweight positioning hurt performance as stocks soared in January and June, but aided performance when stocks experienced weakness, such as in December 2022, February, and August.

Interest-rate exposure was neutral for most of the period. For 2023, in early February, we shifted to a modest underweight position, which led to a gain. In early March, we shifted the position back to neutral. In early June, we tactically shifted once again to a modest underweight position. In late September, we shifted our exposure to neutral.

In terms of commodity risk, we maintained a modestly long, out-of-benchmark position until late March 2023, which contributed a loss. From late March until the end of the period, we maintained a neutral position to commodities.

Security selection boosted benchmark-relative performance. Strategies that augmented performance included quantitative U.S. large-cap core equity, fundamental U.S. large-cap value equity, and quantitative U.S. small-cap core equity.

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How did the fund use derivatives for the reporting period?

The fund used futures to help manage exposure to market risk, gain exposure to interest rates, hedge prepayment and interest-rate risks, and equitize cash.

As the fund starts a new fiscal year, how is it positioned relative to the custom benchmark?

The fund is positioned modestly underweight to equity risk and neutral to interest-rate exposure.

What is your outlook for the financial markets?

We expect elevated inflation, tighter financial conditions, and recession fears will continue to weigh on market sentiment in the fourth quarter of 2023.

Our near-term outlook for equities is slightly bearish. The Fed has tightened more than what was priced in at the beginning of 2023, and its interest-rate cuts were pushed out further than initially expected. At the same time, the S&P 500 Index has rallied strongly due to investor excitement over artificial intelligence and economic data that lowered the risk of recession while increasing the potential for a soft landing for the U.S. economy. Given this backdrop, we believe equity positioning closer to neutral is warranted for the foreseeable future.

Our near-term outlook for interest-rate-sensitive fixed income is neutral. Following the hawkish market reaction to the Fed’s summary of economic projections and dot plot from its September 2023 meeting, 10-year U.S. Treasury yields reached their highest levels since October 2007. We continue to believe that the Fed will keep rates higher for longer.

Our view on commodities is neutral. Many physical markets remain tight, but the potential for recession and tighter financial conditions are risks to the downside. Commodity price volatility has also increased significantly.

We continue to have conviction in our investment strategies and our ability to adapt the fund to changing market conditions.

Thank you, Brett, for your time and insights today.

The views expressed in this report are exclusively those of Putnam Management and are subject to change. They are not meant as investment advice.

Please note that the holdings discussed in this report may not have been held by the fund for the entire period. Portfolio composition is subject to review in accordance with the fund’s investment strategy and may vary in the future. Current and future portfolio holdings are subject to risk.

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Your fund’s performance

This section shows your fund’s performance, price, and distribution information for periods ended September 30, 2023, the end of its most recent fiscal year. In accordance with regulatory requirements for mutual funds, we also include expense information taken from the fund’s current prospectus. Performance should always be considered in light of a fund’s investment strategy. Data represent past performance. Past performance does not guarantee future results. More recent returns may be less or more than those shown. Investment return and principal value will fluctuate, and you may have a gain or a loss when you sell your shares. Performance information does not reflect any deduction for taxes a shareholder may owe on fund distributions or on the redemption of fund shares. For the most recent month-end performance, please visit the Individual Investors section at putnam.com or call Putnam at 1-800-225-1581. Class P, R, R5, R6, and Y shares are not available to all investors.

Annualized fund performance Total return for periods ended 9/30/23

  Life of fund  10 years  5 years  3 years  1 year 
Class A (2/8/94)           
Before sales charge  7.44%  7.24%  4.82%  5.73%  17.03% 
After sales charge  7.22  6.60  3.58  3.66  10.30 
Class B (2/16/94)           
Before CDSC  7.23  6.59  4.03  4.93  16.11 
After CDSC  7.23  6.59  3.70  4.02  11.11 
Class C (9/1/94)           
Before CDSC  7.20  6.59  4.02  4.93  16.17 
After CDSC  7.20  6.59  4.02  4.93  15.17 
Class P (8/31/16)           
Net asset value  7.74  7.60  5.19  6.09  17.42 
Class R (1/21/03)           
Net asset value  7.16  6.97  4.55  5.47  16.69 
Class R5 (7/2/12)           
Net asset value  7.70  7.51  5.07  5.97  17.26 
Class R6 (7/2/12)           
Net asset value  7.75  7.62  5.18  6.09  17.42 
Class Y (7/14/94)           
Net asset value  7.70  7.50  5.08  5.99  17.26 

 

Current performance may be lower or higher than the quoted past performance, which cannot guarantee future results. After-sales-charge returns for class A shares reflect the deduction of the maximum 5.75% sales charge levied at the time of purchase. Class B share returns after contingent deferred sales charge (CDSC) reflect the applicable CDSC, which is 5% in the first year, declining over time to 1% in the sixth year, and is eliminated thereafter. Class C share returns after CDSC reflect a 1% CDSC for the first year that is eliminated thereafter. Class P, R, R5, R6, and Y shares have no initial sales charge or CDSC. Performance for class B, C, R, and Y shares before their inception is derived from the historical performance of class A shares, adjusted for the applicable sales charge (or CDSC) and the higher operating expenses for such shares, except for class Y shares, for which 12b-1 fees are not applicable. Performance for class P, R5, and R6 shares prior to their inception is derived from the historical performance of class Y shares and has not been adjusted for the lower investor servicing fees applicable to class P, R5, and R6 shares; had it, returns would have been higher.

For a portion of the periods, the fund had expense limitations, without which returns would have been lower.

Class B and C share performance reflects conversion to class A shares after eight years.

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Comparative annualized index returns For periods ended 9/30/23

  Life of fund  10 years  5 years  3 years  1 year 
Russell 3000 Index  9.70%  11.28%  9.14%  9.38%  20.46% 
Putnam Growth Blended           
Benchmark*    7.99  6.43  5.87  17.37 
Lipper Mixed-Asset Target           
Allocation Growth Funds           
category median   7.42  6.39  4.89  4.30  13.22 

 

Index and Lipper results should be compared with fund performance before sales charge, before CDSC, or at net asset value.

All Bloomberg indices are provided by Bloomberg Index Services Limited.

Lipper peer group median is provided by Lipper, an LSEG company.

* Putnam Growth Blended Benchmark is a blended benchmark administered by Putnam Management and comprises 60% the Russell 3000 Index, 15% the MSCI EAFE Index (ND), 15% the Bloomberg U.S. Aggregate Bond Index, 5% the JPMorgan Developed High Yield Index, and 5% the MSCI Emerging Markets Index (GD).

The fund’s secondary benchmark, the Putnam Growth Blended Benchmark, was introduced on 12/31/94, which post-dates the inception of the fund’s class A shares.

Over the 1-year, 3-year, 5-year, 10-year, and life-of-fund periods ended 9/30/23, there were 472, 437, 418, 340, and 38 funds, respectively, in this Lipper category.


Past performance does not indicate future results. At the end of the same time period, a $10,000 investment in the fund’s class B and C shares would have been valued at $18,935 and $18,937, respectively, and no contingent deferred sales charges would apply. A $10,000 investment in the fund’s class P, R, R5, R6, and Y shares would have been valued at $20,806, $19,612, $20,624, $20,840, and $20,617, respectively.

Dynamic Asset Allocation Growth Fund 9 

 


 

Fund price and distribution information For the 12-month period ended 9/30/23

Distributions  Class A  Class B  Class C  Class P  Class R  Class R5  Class R6  Class Y 
Number  1  1  1  1  1  1  1  1 
Income  $0.108      $0.175  $0.061    $0.167  $0.150 
Capital gains                   
Long-term gains  0.162  $0.162  $0.162  0.162  0.162  $0.162  0.162  0.162 
Short-term gains                 
Total  $0.270  $0.162  $0.162  $0.337  $0.223  $0.162  $0.329  $0.312 
  Before  After  Net  Net  Net  Net  Net  Net  Net 
  sales  sales  asset  asset  asset  asset  asset  asset  asset 
Share value  charge  charge  value  value  value  value  value  value  value 
9/30/22  $14.82  $15.72  $14.37  $13.57  $15.08  $14.39  $15.04  $15.09  $15.06 
9/30/23  17.05  18.09  16.51  15.59  17.34  16.55  17.46  17.36  17.32 

 

The classification of distributions, if any, is an estimate. Before-sales-charge share value and current dividend rate for class A shares, if applicable, do not take into account any sales charge levied at the time of purchase. After-sales-charge share value, current dividend rate, and current 30-day SEC yield, if applicable, are calculated assuming that the maximum sales charge (5.75% for class A shares) was levied at the time of purchase. Final distribution information will appear on your year-end tax forms.


Your fund’s expenses

As a mutual fund investor, you pay ongoing expenses, such as management fees, distribution fees (12b-1 fees), and other expenses. Using the following information, you can estimate how these expenses affect your investment and compare them with the expenses of other funds. You may also pay one-time transaction expenses, including sales charges (loads) and redemption fees, which are not shown in this section and would have resulted in higher total expenses. For more information, see your fund’s prospectus or talk to your financial representative.

Expense ratios

  Class A  Class B  Class C  Class P  Class R  Class R5  Class R6  Class Y 
Total annual operating                 
expenses for the fiscal year                 
ended 9/30/22  1.03%  1.78%  1.78%  0.65%  1.28%  0.79%  0.69%  0.78% 
Annualized expense ratio                 
for the six-month period                 
ended 9/30/23*  1.04%  1.79%  1.79%  0.65%  1.29%  0.80%  0.70%  0.79% 

 

Fiscal year expense information in this table is taken from the most recent prospectus, is subject to change, and may differ from that shown for the annualized expense ratio and in the financial highlights of this report.

Expenses are shown as a percentage of average net assets.

* Expense ratios for each class are for the fund’s most recent fiscal half year. As a result of this, ratios may differ from expense ratios based on one-year data in the financial highlights.

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Expenses per $1,000

The following table shows the expenses you would have paid on a $1,000 investment in each class of the fund from 4/1/23 to 9/30/23. It also shows how much a $1,000 investment would be worth at the close of the period, assuming actual returns and expenses.

  Class A  Class B  Class C  Class P  Class R  Class R5  Class R6  Class Y 
Expenses paid per $1,000*†  $5.29  $9.09  $9.09  $3.31  $6.56  $4.07  $3.56  $4.02 
Ending value (after expenses)  $1,029.60  $1,026.10  $1,025.70  $1,031.50  $1,028.60  $1,030.70  $1,031.50  $1,031.00 

 

* Expenses for each share class are calculated using the fund’s annualized expense ratio for each class, which represents the ongoing expenses as a percentage of average net assets for the six months ended 9/30/23. The expense ratio may differ for each share class.

Expenses are calculated by multiplying the expense ratio by the average account value for the period; then multiplying the result by the number of days in the period (183); and then dividing that result by the number of days in the year (365).

Estimate the expenses you paid

To estimate the ongoing expenses you paid for the six months ended 9/30/23, use the following calculation method. To find the value of your investment on 4/1/23, call Putnam at 1-800-225-1581.


Compare expenses using the SEC’s method

The Securities and Exchange Commission (SEC) has established guidelines to help investors assess fund expenses. Per these guidelines, the following table shows your fund’s expenses based on a $1,000 investment, assuming a hypothetical 5% annualized return. You can use this information to compare the ongoing expenses (but not transaction expenses or total costs) of investing in the fund with those of other funds. All mutual fund shareholder reports will provide this information to help you make this comparison. Please note that you cannot use this information to estimate your actual ending account balance and expenses paid during the period.

  Class A  Class B  Class C  Class P  Class R  Class R5  Class R6  Class Y 
Expenses paid per $1,000*†  $5.27  $9.05  $9.05  $3.29  $6.53  $4.05  $3.55  $4.00 
Ending value (after expenses)  $1,019.85  $1,016.09  $1,016.09  $1,021.81  $1,018.60  $1,021.06  $1,021.56  $1,021.11 

 

* Expenses for each share class are calculated using the fund’s annualized expense ratio for each class, which represents the ongoing expenses as a percentage of average net assets for the six months ended 9/30/23. The expense ratio may differ for each share class.

Expenses are calculated by multiplying the expense ratio by the average account value for the six-month period; then multiplying the result by the number of days in the six-month period (183); and then dividing that result by the number of days in the year (365).

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Comparative index definitions

Bloomberg U.S. Aggregate Bond Index is an unmanaged index of U.S. investment-grade fixed income securities.

FTSE® World Government Bond Index measures the performance of fixed-rate, local-currency, investment-grade sovereign bonds.

ICE BofA (Intercontinental Exchange Bank of America) U.S. 3-Month Treasury Bill Index is an unmanaged index that seeks to measure the performance of U.S. Treasury bills available in the marketplace.

JPMorgan Developed High Yield Index is an unmanaged index of high-yield fixed income securities issued in developed countries.

MSCI EAFE Index (ND) is an unmanaged index of equity securities from developed countries in Western Europe, the Far East, and Australasia. Calculated with net dividends (ND), this total return index reflects the reinvestment of dividends after the deduction of withholding taxes, using a tax rate applicable to non-resident institutional investors who do not benefit from double taxation treaties.

MSCI Emerging Markets Index (GD) is a free float-adjusted market capitalization index that is designed to measure equity market performance in the global emerging markets. Gross dividend (GD) total return indexes reinvest as much as possible of a company’s dividend distributions.

MSCI World Index (ND) is an unmanaged index of equity securities from developed countries.

Putnam Growth Blended Benchmark is a blended benchmark administered by Putnam Management and comprises 60% the Russell 3000® Index, 15% the MSCI EAFE Index (ND), 15% the Bloomberg U.S. Aggregate Bond Index, 5% the JPMorgan Developed High Yield Index, and 5% the MSCI Emerging Markets Index (GD).

Russell 3000® Index is an unmanaged index of the 3,000 largest U.S. companies.

S&P 500® Index is an unmanaged index of common stock performance.

Indexes assume reinvestment of all distributions and do not account for fees. Securities and performance of a fund and an index will differ. You cannot invest directly in an index.

BLOOMBERG®  is a trademark and service mark of Bloomberg Finance L.P. and its affiliates (collectively “Bloomberg”). Bloomberg or Bloomberg’s licensors own all proprietary rights in the Bloomberg Indices. Neither Bloomberg nor Bloomberg’s licensors approve or endorse this material, or guarantee the accuracy or completeness of any information herein, or make any warranty, express or implied, as to the results to be obtained therefrom, and to the maximum extent allowed by law, neither shall have any liability or responsibility for injury or damages arising in connection therewith.

Frank Russell Company is the source and owner of the trademarks, service marks, and copyrights related to the Russell Indexes. Russell® is a trademark of Frank Russell Company.

FTSE Russell is the source and owner of the trademarks, service marks, and copyrights related to the FTSE Indexes. FTSE® is a trademark of FTSE Russell.

ICE Data Indices, LLC (“ICE BofA”), used with permission. ICE BofA permits use of the ICE BofA indices and related data on an “as is” basis; makes no warranties regarding same; does not guarantee the suitability, quality, accuracy, timeliness, and/or completeness of the ICE BofA indices or any data included in, related to, or derived therefrom; assumes no liability in connection with the use of the foregoing; and does not sponsor, endorse, or recommend Putnam Investments, or any of its products or services.

Certain information contained herein (the “Information”) is sourced from/copyright of MSCI Inc., MSCI ESG Research LLC, or their affiliates (“MSCI”), or information providers (together the “MSCI Parties”) and may have been used to calculate scores, signals, or other indicators. The Information is for internal use only and may not be reproduced or disseminated in whole or part without prior written permission. The Information may not be used for, nor does it constitute, an offer to buy or sell, or a promotion or recommendation of, any security, financial instrument or product, trading strategy, or index, nor should it be taken as an indication or guarantee of any future performance. Some funds may be based on or linked to MSCI indexes, and MSCI may be compensated based on the fund’s assets under management or other measures. MSCI has established an information barrier between index research and certain Information. None of the Information in and of itself can be used to determine which securities to buy or sell or when to buy or sell them. The Information is provided “as is” and the

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user assumes the entire risk of any use it may make or permit to be made of the Information. No MSCI Party warrants or guarantees the originality, accuracy, and/or completeness of the Information, and each expressly disclaims all express or implied warranties. No MSCI Party shall have any liability for any errors or omissions in connection with any Information herein, or any liability for any direct, indirect, special, punitive, consequential, or any other damages (including lost profits) even if notified of the possibility of such damages.

Lipper, an LSEG company, is a third-party industry-ranking entity that ranks funds. Its rankings do not reflect sales charges. Lipper rankings are based on total return at net asset value relative to other funds that have similar current investment styles or objectives as determined by Lipper. Lipper may change a fund’s category assignment at its discretion. Lipper category medians reflect performance trends for funds within a category.

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Other information for shareholders

Important notice regarding delivery of shareholder documents

In accordance with Securities and Exchange Commission (SEC) regulations, Putnam sends a single notice of internet availability, or a single printed copy, of annual and semiannual shareholder reports, prospectuses, and proxy statements to Putnam shareholders who share the same address, unless a shareholder requests otherwise. If you prefer to receive your own copy of these documents, please call Putnam at 1-800-225-1581 or, for exchange-traded funds only, 1-833-228-5577. We will begin sending individual copies within 30 days.

Proxy voting

Putnam is committed to managing our funds in the best interests of our shareholders. The Putnam funds’ proxy voting guidelines and procedures, as well as information regarding how your fund voted proxies relating to portfolio securities during the 12-month period ended June 30, 2023, are available in the Individual Investors section of putnam.com and on the SEC’s website, www.sec.gov. If you have questions about finding forms on the SEC’s website, you may call the SEC at 1-800-SEC-0330. You may also obtain the Putnam funds’ proxy voting guidelines and procedures at no charge by calling Putnam’s Shareholder Services at 1-800-225-1581 or, for exchange-traded funds only, 1-833-228-5577.

Fund portfolio holdings

The fund will file a complete schedule of its portfolio holdings with the SEC for the first and third quarters of each fiscal year on Form N-PORT within 60 days of the end of such fiscal quarter. Shareholders may obtain the fund’s Form N-PORT on the SEC’s website at www.sec.gov.

Trustee and employee fund ownership

Putnam employees and members of the Board of Trustees place their faith, confidence, and, most importantly, investment dollars in Putnam funds. As of September 30, 2023, Putnam employees had approximately $477,000,000 and the Trustees had approximately $65,000,000 invested in Putnam funds. These amounts include investments by the Trustees’ and employees’ immediate family members as well as investments through retirement and deferred compensation plans.

Liquidity risk management program

Putnam, as the administrator of the fund’s liquidity risk management program (appointed by the Board of Trustees), presented the most recent annual report on the program to the Trustees in May 2023. The report covered the structure of the program, including the program documents and related policies and procedures adopted to comply with Rule 22e-4 under the Investment Company Act of 1940, and reviewed the operation of the program from January 2022 through December 2022. The report included a description of the annual liquidity assessment of the fund that Putnam performed in November 2022. The report noted that there were no material compliance exceptions identified under Rule 22e-4 during the period. The report included a review of the governance of the program and the methodology for classification of the fund’s investments. Putnam concluded that the program has been operating effectively and adequately to ensure compliance with Rule 22e-4.

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Important notice regarding Putnam’s privacy policy

In order to conduct business with our shareholders, we must obtain certain personal information such as account holders’ names, addresses, Social Security numbers, and dates of birth. Using this information, we are able to maintain accurate records of accounts and transactions.

It is our policy to protect the confidentiality of our shareholder information, whether or not a shareholder currently owns shares of our funds. In particular, it is our policy not to sell information about you or your accounts to outside marketing firms. We have safeguards in place designed to prevent unauthorized access to our computer systems and procedures to protect personal information from unauthorized use.

Under certain circumstances, we must share account information with outside vendors who provide services to us, such as mailings and proxy solicitations. In these cases, the service providers enter into confidentiality agreements with us, and we provide only the information necessary to process transactions and perform other services related to your account. Finally, it is our policy to share account information with your financial representative, if you’ve listed one on your Putnam account.

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Trustee approval of management contracts

Consideration of your fund’s new and interim management, sub-management and sub-advisory contracts

At their meeting on June 23, 2023, the Board of Trustees of your fund, including all of the Trustees who are not “interested persons” (as this term is defined in the Investment Company Act of 1940, as amended (the “1940 Act”)) of the Putnam mutual funds, closed-end funds and exchange-traded funds (collectively, the “funds”) (the “Independent Trustees”) approved, subject to approval by your fund’s shareholders, a new management contract with Putnam Investment Management (“Putnam Management”), a new sub-management contract between Putnam Management and its affiliate, Putnam Investments Limited (“PIL”), and a new sub-advisory contract among Putnam Management, PIL and another affiliate, The Putnam Advisory Company (“PAC”) (collectively, the “New Management Contracts”). The Trustees considered the proposed New Management Contracts in connection with the planned acquisition of Putnam U.S. Holdings I, LLC (“Putnam Holdings”) by a subsidiary of Franklin Resources, Inc. (“Franklin Templeton”). The Trustees considered that, on May 31, 2023, Franklin Templeton and Great-West Lifeco Inc., the parent company of Putnam Holdings, announced that they had entered into a definitive agreement for a subsidiary of Franklin Templeton to acquire Putnam Holdings in a stock and cash transaction (the “Transaction”). The Trustees noted that Putnam Holdings was the parent company of Putnam Management, PIL and PAC. The Trustees were advised that the Transaction would result in a “change of control” of Putnam Management, PIL and PAC and would cause your fund’s current Management Contract with Putnam Management, Sub-Management Contract with PIL and Sub-Advisory Contract with PAC (collectively, the “Current Management Contracts”) to terminate in accordance with the 1940 Act. The Trustees considered that the New Management Contracts would take effect upon the closing of the Transaction, which was expected to occur in the fourth quarter of 2023.

In addition to the New Management Contracts, the Trustees also approved interim management, sub-management and sub-advisory contracts with Putnam Management, PIL and PAC, respectively (the “Interim Management Contracts”), which would take effect in the event that for an reason shareholder approval of a New Management Contract was not received by the time of the Transaction closing. The Trustees considered that each Interim Management Contract that became effective would remain in effect until shareholders approved the proposed New Management Contract, or until 150 days elapse after the closing of the Transaction, whichever occurred first. The considerations and conclusions discussed in connection with the Trustees’ consideration of the New Management Contracts and the continuance of your fund’s Current Management Contracts also apply to the Trustees’ consideration of the Interim Management Contracts, supplemented by consideration of the terms, nature and reason for any Interim Management Contract.

The Independent Trustees met with their independent legal counsel, as defined in Rule 0 – 1(a)(6) under the 1940 Act (their “independent legal counsel”), and representatives of Putnam Management and its parent company, Power Corporation of Canada, to discuss the potential Transaction, including the timing and structure of the Transaction and its implications for Putnam Management and the funds, during their regular meeting on November 18, 2022, and the full Board of Trustees further discussed these matters with representatives of Putnam Management at its regular meeting on December 15, 2022. At a special meeting on December 20, 2022, the full Board of Trustees met with representatives of Putnam Management, Power Corporation of Canada and Franklin Templeton to further discuss the potential Transaction, including Franklin Templeton’s strategic plans for Putnam Management’s asset management business and the funds, potential sources of synergy between Franklin Templeton and Putnam Management, potential areas of partnership between Power Corporation of Canada and Franklin Templeton, Franklin Templeton’s distribution capabilities, Franklin Templeton’s existing service provider relationships and Franklin Templeton’s recent acquisitions of other asset management firms.

In order to assist the Independent Trustees in their consideration of the New Management Contracts and other anticipated impacts of the Transaction on the funds and their shareholders, independent legal counsel for the Independent Trustees furnished an initial information request to Franklin Templeton (the “Initial Franklin Request”). At a

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special meeting of the full Board of Trustees held on January 25, 2023, representatives of Franklin Templeton addressed the firm’s responses to the Initial Franklin Request. At the meeting, representatives of Franklin Templeton discussed, among other things, the business and financial condition of Franklin Templeton and its affiliates, Franklin Templeton’s U.S. registered fund operations, its recent acquisition history, Franklin Templeton’s intentions regarding the operation of Putnam Management and the funds following the completion of the potential Transaction and expected benefits to the funds and Putnam Management that might result from the Transaction.

The Board of Trustees actively monitored developments with respect to the potential Transaction throughout the period leading up to the public announcement of a final sale agreement on May 31, 2023. The Independent Trustees met to discuss these matters at their regular meetings on January 27, April 20 and May 19, 2023. The full Board of Trustees also discussed developments at their regular meeting on February 23, 2023. Following the public announcement of the Transaction on May 31, 2023, independent legal counsel for the Independent Trustees furnished a supplemental information request (the “Supplemental Franklin Request”) to Franklin Templeton. At the Board of Trustees’ regular in-person meeting held on June 22–23, 2023, representatives of Putnam Management and Power Corporation of Canada provided further information regarding, among other matters, the final terms of the Transaction and efforts undertaken to retain Putnam employees. The Contract Committee of the Board of Trustees also met on June 22, 2023 to discuss Franklin Templeton’s responses to the Supplemental Franklin Request. Mr. Reynolds, the only Trustee affiliated with Putnam Management, participated in portions of these meetings to provide the perspective of the Putnam organization, but did not otherwise participate in the deliberations of the Independent Trustees or the Contract Committee regarding the potential Transaction.

After the presentations and after reviewing the written materials provided, the Independent Trustees met at their in-person meeting on June 23, 2023 to consider the New Management Contracts for each fund, proposed to become effective upon the closing of the Transaction, and the filing of a preliminary proxy statement. At this meeting and throughout the process, the Independent Trustees also received advice from their independent legal counsel regarding their responsibilities in evaluating the potential Transaction and the New Management Contracts. The Independent Trustees reviewed the terms of the proposed New Management Contracts and the differences between the New Management Contracts and the Current Management Contracts. They noted that the terms of the proposed New Management Contracts were substantially identical to the Current Management Contracts, except for certain changes designed largely to address differences among various of the existing contracts, which had been developed and implemented at different times in the past.

In considering the approval of the proposed New Management Contracts, the Board of Trustees took into account a number of factors, including:1

(i) Franklin Templeton’s and Putnam Management’s belief that the Transaction would not adversely affect the funds or their shareholders and their belief that the Transaction was likely to result in certain benefits (described below) for the funds and their shareholders;

(ii) That Franklin Templeton did not intend to make any material change in Putnam Management’s senior investment professionals (other than certain changes related to reporting structure and organization of personnel discussed below), including the portfolio managers of the funds, or to the firm’s operating locations as a result of the Transaction;

(iii) That Franklin Templeton intended for Putnam Management’s equity investment professionals to continue to operate largely independently from Franklin Templeton, reporting to Franklin Templeton’s Head of Public Markets following the Transaction;

(iv) That, while Putnam Management’s organizational structure was not expected to change immediately following the Transaction, Franklin Templeton intended to revise Putnam Management’s reporting structure in order to include Putnam Management’s fixed income investment professionals in Franklin Templeton’s fixed income group and to include Putnam Management’s Global Asset Allocation (“GAA”) investment professionals in Franklin Templeton’s investment


1 All subsequent references to Putnam Management describing the Board of Trustees’ considerations should be deemed to include references to PIL and PAC as necessary or appropriate in the context.

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solutions group, with both Franklin Templeton groups reporting to Franklin Templeton’s Head of Public Markets;

(v) Franklin Templeton’s expectation that there would not be any changes in the investment objectives, strategies or portfolio holdings of the funds as a result of the Transaction;

(vi) That neither Franklin Templeton nor Putnam Management had any current plans to propose changes to the funds’ existing management fees or expense limitations, or current plans to make changes to the funds’ existing distribution arrangements;

(vii) Franklin Templeton’s and Putnam Management’s representations that, following the Transaction, there was not expected to be any diminution in the nature, quality and extent of services provided to the funds and their shareholders by Putnam Management, PIL and PAC, including compliance and other non-advisory services;

(viii) That Franklin Templeton did not currently plan to change the branding of the funds or to change the lineup of funds in connection with the Transaction but would continue to evaluate how best to position the funds in the market;

(ix) The possible benefits accruing to the funds and their shareholders as a result of the Transaction, including:

a. That the scale of Franklin Templeton’s investment operations platform would increase the investment and operational resources available to the funds;

b. That the Putnam open-end funds would benefit from Franklin Templeton’s large retail and institutional global distribution capabilities and significant network of intermediary relationships, which may provide additional opportunities for the funds to increase assets and reduce expenses by spreading expenses over a larger asset base; and

c. Potential benefits to shareholders of the Putnam open-end funds that could result from the alignment of certain fund features and shareholder benefits with those of other funds sponsored by Franklin Templeton and its affiliates and access to a broader array of investment opportunities;

(x) The financial strength, reputation, experience and resources of Franklin Templeton and its investment advisory subsidiaries;

(xi) Franklin Templeton’s expectation that the Transaction would not impact the capabilities or responsibilities of Putnam Management’s Investment Division (other than any impact related to reporting structure changes for Putnam Management’s equity, fixed income and GAA investment groups and to including Putnam Management’s fixed income and GAA investment professionals in existing Franklin Templeton investment groups, as discussed above) and that any changes to the Investment Division over the longer term would be made in order to achieve perceived operational efficiencies or improvements to the portfolio management process;

(xii) Franklin Templeton’s commitment to maintaining competitive compensation arrangements to allow Putnam Management to continue to attract and retain highly qualified personnel and Putnam Management’s and Franklin Templeton’s efforts to retain personnel, including efforts implemented since the Transaction was announced;

(xiii) That the current senior management teams at Putnam Management and Power Corporation of Canada had indicated their strong support of the Transaction and that Putnam Management had recommended that the Board of Trustees approve the New Management Contracts; and

(xiv) Putnam Management’s and Great-West Lifeco Inc.’s commitment to bear all expenses incurred by the funds in connection with the Transaction, including all costs associated with the proxy solicitation in connection with seeking shareholder approval of the New Management Contracts.

Finally, in considering the proposed New Management Contracts, the Board of Trustees also took into account their concurrent deliberations and conclusions, as described below, in connection with their annual review of the funds’ Current Management Contracts and the approval of their continuance, effective July 1, 2023, and the extensive materials that they had reviewed in connection with that review process.

Based upon the foregoing considerations, on June 23, 2023, the Board of Trustees, including all of the Independent Trustees, unanimously approved the proposed New Management Contracts and determined to recommend their approval to the shareholders of the funds.

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General conclusions — Current Management Contracts

The Board of Trustees oversees the management of each fund and, as required by law, determines annually whether to approve the continuance of your fund’s management contract with Putnam Management, the sub-management contract with respect to your fund between Putnam Management and PIL and the sub-advisory contract among Putnam Management, PIL and PAC. (Because PIL and PAC are affiliates of Putnam Management and Putnam Management remains fully responsible for all services provided by PIL and PAC, the Trustees did not attempt to evaluate PIL or PAC as separate entities.) The Board of Trustees, with the assistance of its Contract Committee, requests and evaluates all information it deems reasonably necessary under the circumstances in connection with its annual contract review. The Contract Committee consists solely of Independent Trustees.

At the outset of the review process, members of the Board of Trustees’ independent staff and independent legal counsel considered any possible changes to the annual contract review materials furnished to the Contract Committee during the course of the previous year’s review and, as applicable, identified those changes to Putnam Management. Following these discussions and in consultation with the Contract Committee, the Independent Trustees’ independent legal counsel requested that Putnam Management and its affiliates furnish specified information, together with any additional information that Putnam Management considered relevant, to the Contract Committee. Over the course of several months ending in June 2023, the Contract Committee met on a number of occasions with representatives of Putnam Management, and separately in executive session, to consider the information that Putnam Management provided. Throughout this process, the Contract Committee was assisted by the members of the Board of Trustees’ independent staff and by independent legal counsel for the funds and the Independent Trustees.

At the Board of Trustees’ June 2023 meeting, the Contract Committee met in executive session to discuss and consider its recommendations with respect to the continuance of the contracts. At that meeting, the Contract Committee also met in executive session with the other Independent Trustees to review a summary of the key financial, performance and other data that the Contract Committee considered in the course of its review. The Contract Committee recommended, and the Independent Trustees approved, the continuance of your fund’s Current Management Contracts, effective July 1, 2023, and the approval of your fund’s New Management Contracts and Interim Management Contracts, as discussed above.

The Independent Trustees’ approvals were based on the following conclusions:

• That the fee schedule in effect for your fund represented reasonable compensation in light of the nature and quality of the services being provided to the fund, the fees paid by competitive funds, the costs incurred by Putnam Management in providing services to the fund and the application of certain reductions and waivers noted below; and

• That the fee schedule in effect for your fund represented an appropriate sharing between fund shareholders and Putnam Management of any economies of scale as may exist in the management of the fund at current asset levels.

These conclusions were based on a comprehensive consideration of all information provided to the Trustees and were not the result of any single factor. Some of the factors that figured particularly in the Trustees’ deliberations and how the Trustees considered these factors are described below, although individual Trustees may have evaluated the information presented differently, giving different weights to various factors. It is also important to recognize that the management arrangements for your fund and the other Putnam mutual funds and closed-end funds are the result of many years of review and discussion between the Independent Trustees and Putnam Management, that some aspects of the arrangements may receive greater scrutiny in some years than others and that the Trustees’ conclusions may be based, in part, on their consideration of fee arrangements in previous years. For example, with certain exceptions primarily involving newer funds (including the exchange-traded funds) or repositioned funds, the current fee arrangements under the vast majority of the funds’ management contracts were first implemented at the beginning of 2010 following extensive review by the Contract Committee and discussions with representatives of Putnam Management, as well as approval by shareholders. The Trustees also took into account their concurrent deliberations and conclusions, and the materials that they had reviewed, in connection with their approval on June 23, 2023

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of the Interim Management Contracts and the New Management Contracts, which had been proposed in light of the Transaction (which would cause the fund’s Current Management Contracts to terminate in accordance with applicable law or the terms of each contract).

Management fee schedules and total expenses

The Trustees reviewed the management fee schedules in effect for all funds, including fee levels and any breakpoints. Under its management contract, your fund has the benefit of breakpoints in its management fee schedule that provide shareholders with reduced fee levels as assets under management in the Putnam family of funds increase. The Trustees also reviewed the total expenses of each Putnam fund, recognizing that in most cases management fees represented the major, but not the sole, determinant of total costs to fund shareholders. (Two mutual funds and each of the exchange-traded funds have implemented so-called “all-in” or unitary management fees covering substantially all routine fund operating costs.)

In reviewing fees and expenses, the Trustees generally focus their attention on material changes in circumstances — for example, changes in assets under management, changes in a fund’s investment strategy, changes in Putnam Management’s operating costs or profitability, or changes in competitive practices in the fund industry — that suggest that consideration of fee changes might be warranted. The Trustees concluded that the circumstances did not indicate that changes to the management fee schedule for your fund would be appropriate at this time.

As in the past, the Trustees also focused on the competitiveness of each fund’s total expense ratio. The Trustees, Putnam Management and the funds’ investor servicing agent, Putnam Investor Services, Inc. (“PSERV”), have implemented expense limitations that were in effect during your fund’s fiscal year ending in 2022. These expense limitations were: (i) a contractual expense limitation applicable to specified mutual funds, including your fund, of 25 basis points on investor servicing fees and expenses and (ii) a contractual expense limitation applicable to specified mutual funds, including your fund, of 20 basis points on so-called “other expenses” (i.e., all expenses exclusive of management fees, distribution fees, investor servicing fees, investment-related expenses, interest, taxes, brokerage commissions, acquired fund fees and expenses and extraordinary expenses). These expense limitations attempt to maintain competitive expense levels for the funds. Most funds, including your fund, had sufficiently low expenses that these expense limitations were not operative during their fiscal years ending in 2022. Putnam Management and PSERV have agreed to maintain these expense limitations until at least January 30, 2025. Putnam Management and PSERV’s commitment to these expense limitation arrangements, which were intended to support an effort to have the mutual fund expenses meet competitive standards, was an important factor in the Trustees’ decision to approve your fund’s New Management Contracts and Interim Management Contracts and the continuance of your fund’s Current Management Contracts.

The Trustees reviewed comparative fee and expense information for a custom group of competitive funds selected by Broadridge Financial Solutions, Inc. (“Broadridge”). This comparative information included your fund’s percentile ranking for effective management fees and total expenses (excluding any applicable 12b-1 fees), which provides a general indication of your fund’s relative standing. In the custom peer group, your fund ranked in the third quintile in effective management fees (determined for your fund and the other funds in the custom peer group based on fund asset size and the applicable contractual management fee schedule) and in the fourth quintile in total expenses (excluding any applicable 12b-1 fees) as of December 31, 2022. The first quintile represents the least expensive funds and the fifth quintile the most expensive funds. The fee and expense data reported by Broadridge as of December 31, 2022 reflected the most recent fiscal year-end data available in Broadridge’s database at that time.

In connection with their review of fund management fees and total expenses, the Trustees also reviewed the costs of the services provided and the profits realized by Putnam Management and its affiliates from their contractual relationships with the funds. This information included trends in revenues, expenses and profitability of Putnam Management and its affiliates relating to the investment management, investor servicing and distribution services provided to the funds, as applicable. In this regard, the Trustees also reviewed an analysis of the revenues, expenses and profitability of Putnam Management and its affiliates, allocated on a fund-by-fund basis, with

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respect to (as applicable) the funds’ management, distribution and investor servicing contracts. For each fund, the analysis presented information about revenues, expenses and profitability in 2022 for each of the applicable agreements separately and for the agreements taken together on a combined basis. The Trustees concluded that, at current asset levels, the fee schedules in place for each of the funds, including the fee schedule for your fund, represented reasonable compensation for the services being provided and represented an appropriate sharing between fund shareholders and Putnam Management of any economies of scale as may exist in the management of the funds at that time.

The information examined by the Trustees in connection with their annual contract review for the funds included information regarding services provided and fees charged by Putnam Management and its affiliates to other clients, including collective investment trusts offered in the defined contribution and defined benefit retirement plan markets, sub-advised mutual funds, private funds sponsored by affiliates of Putnam Management, model-only separately managed accounts and Putnam Management’s manager-traded separately managed account programs. This information included, in cases where a product’s investment strategy corresponds with a fund’s strategy, comparisons of those fees with fees charged to the funds, as well as an assessment of the differences in the services provided to these clients as compared to the services provided to the funds. The Trustees observed that the differences in fee rates between these clients and the funds are by no means uniform when examined by individual asset sectors, suggesting that differences in the pricing of investment management services to these types of clients may reflect, among other things, historical competitive forces operating in separate marketplaces. The Trustees considered the fact that in many cases fee rates across different asset classes are higher on average for 1940 Act-registered funds than for other clients, and the Trustees also considered the differences between the services that Putnam Management provides to the funds and those that it provides to its other clients. The Trustees did not rely on these comparisons to any significant extent in concluding that the management fees paid by your fund are reasonable.

Investment performance

The quality of the investment process provided by Putnam Management represented a major factor in the Trustees’ evaluation of the quality of services provided by Putnam Management under your fund’s management contract. The Trustees were assisted in their review of Putnam Management’s investment process and performance by the work of the investment oversight committees of the Trustees and the full Board of Trustees, which meet on a regular basis with individual portfolio managers and with senior management of Putnam Management’s Investment Division throughout the year. The Trustees concluded that Putnam Management generally provides a high-quality investment process — based on the experience and skills of the individuals assigned to the management of fund portfolios, the resources made available to them and in general Putnam Management’s ability to attract and retain high-quality personnel — but also recognized that this does not guarantee favorable investment results for every fund in every time period.

The Trustees considered that, in the aggregate, peer-relative and benchmark-relative Putnam fund performance was generally encouraging in 2022 against a backdrop of volatile equity and fixed income markets, driven by factors such as Russia’s invasion of Ukraine, increased tensions with China, disruptions in energy markets and broader supply chains, rising inflation and the significant tightening of monetary policy by the Board of Governors of the Federal Reserve in an effort to combat inflation. The Trustees further noted that, in the face of these numerous economic headwinds, corporate earnings and employment data had been generally robust throughout 2022. For the one-year period ended December 31, 2022, the Trustees noted that the Putnam funds, on an asset-weighted basis, ranked in the 41st percentile of their peers as determined by Lipper Inc. (“Lipper”) and, on an asset-weighted-basis, outperformed their benchmarks by 1.3% gross of fees over the one-year period. The Committee also noted that the funds’ aggregate performance over longer-term periods continued to be strong, with the funds, on an asset-weighted basis, ranking in the 34th, 27th and 22nd percentiles of their Lipper peers over the three-year, five-year and ten-year periods ended December 31, 2022, respectively. The Trustees further noted that the funds, in the aggregate, outperformed their benchmarks on a gross basis for each of the three-year, five-year and ten-year

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periods. The Trustees also considered the Morningstar Inc. ratings assigned to the funds and that 40 funds were rated four or five stars at the end of 2022, which represented an increase of 15 funds year-over-year. The Trustees also considered that seven funds were five-star rated at the end of 2022, which was a year-over-year decrease of two funds, and that 83% of the funds’ aggregate assets were in four- or five-star rated funds at year end.

In addition to the performance of the individual Putnam funds, the Trustees considered, as they had in prior years, the performance of The Putnam Fund complex versus competitor fund complexes, as reported in the Barron’s/Lipper Fund Families survey (the “Survey”). The Trustees noted that the Survey ranks mutual fund companies based on their performance across a variety of asset types, and that The Putnam Fund complex had performed exceptionally well in 2022. In this regard, the Trustees considered that the funds had ranked 9th out of 49 fund companies, 3rd out of 49 fund companies and 2nd out of 47 fund companies for the one-year, five-year and ten-year periods, respectively. The Trustees also noted that The Putnam Fund complex had been the only fund family to rank in the top ten in all three time periods. They also noted, however, the disappointing investment performance of some Putnam funds for periods ended December 31, 2022 and considered information provided by Putnam Management regarding the factors contributing to the underperformance and, where relevant, actions being taken to improve the performance of these particular funds. The Trustees indicated their intention to continue to monitor the performance of those funds.

For purposes of the Trustees’ evaluation of the Putnam funds’ investment performance, the Trustees generally focus on a competitive industry ranking of each fund’s total net return over a one-year, three-year and five-year period. For a number of Putnam funds with relatively unique investment mandates for which Putnam Management informed the Trustees that meaningful competitive performance rankings are not considered to be available, the Trustees evaluated performance based on their total gross and net returns and comparisons of those returns to the returns of selected investment benchmarks. In the case of your fund, the Trustees considered that its class A share cumulative total return performance at net asset value was in the following quartiles of its Lipper peer group (Lipper Mixed-Asset Target Allocation Growth Funds) for the one-year, three-year and five-year periods ended December 31, 2022 (the first quartile representing the best-performing funds and the fourth quartile the worst-performing funds):

One-year period  3rd 
Three-year period  2nd 
Five-year period  3rd 

 

Over the one-year, three-year and five-year periods ended December 31, 2022, there were 468, 434 and 417 funds, respectively, in your fund’s Lipper peer group. (When considering performance information, shareholders should be mindful that past performance is not a guarantee of future results.)

The Trustees also considered Putnam Management’s continued efforts to support fund performance through certain initiatives, including structuring compensation for portfolio managers to enhance accountability for fund performance, emphasizing accountability in the portfolio management process and affirming its commitment to a fundamental-driven approach to investing.

Brokerage and soft-dollar allocations; distribution and investor servicing

The Trustees considered various potential benefits that Putnam Management may receive in connection with the services it provides under the management contract with your fund. These include benefits related to brokerage allocation and the use of soft dollars, whereby a portion of the commissions paid by a fund for brokerage may be used to acquire research services that are expected to be useful to Putnam Management in managing the assets of the fund and of other clients. Subject to policies established by the Trustees, soft dollars generated by these means are used predominantly to acquire brokerage and research services (including third-party research and market data) that enhance Putnam Management’s investment capabilities and supplement Putnam Management’s internal research efforts. The Trustees indicated their continued intent to monitor regulatory and industry developments in this area with the assistance of their Brokerage Committee. In addition, with the assistance of their Brokerage Committee, the Trustees indicated their continued intent to monitor the allocation of the funds’ brokerage in order to ensure that the principle of seeking best price and execution remains paramount in the portfolio trading process.

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Putnam Management may also receive benefits from payments made to Putnam Management’s affiliates by the mutual funds for distribution services and investor services. In conjunction with the review of your fund’s management, sub-management and sub-advisory contracts, the Trustees reviewed your fund’s investor servicing agreement with PSERV and its distributor’s contract and distribution plans with Putnam Retail Management Limited Partnership (“PRM”), both of which are affiliates of Putnam Management.

The Trustees concluded that the fees payable by the mutual funds to PSERV and PRM for such services were fair and reasonable in relation to the nature and quality of such services, the fees paid by competitive funds and the costs incurred by PSERV and PRM in providing such services. Furthermore, the Trustees were of the view that the investor services provided by PSERV were required for the operation of the mutual funds, and that they were of a quality at least equal to those provided by other providers.

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Audited financial statements

These sections of the report, as well as the accompanying Notes, preceded by the Report of Independent Registered Public Accounting Firm, constitute the fund’s audited financial statements.

The fund’s portfolio lists all the fund’s investments and their values as of the last day of the reporting period. Holdings are organized by asset type and industry sector, country, or state to show areas of concentration and diversification.

Statement of assets and liabilities shows how the fund’s net assets and share price are determined. All investment and non-investment assets are added together. Any unpaid expenses and other liabilities are subtracted from this total. The result is divided by the number of shares to determine the net asset value per share, which is calculated separately for each class of shares. (For funds with preferred shares, the amount subtracted from total assets includes the liquidation preference of preferred shares.)

Statement of operations shows the fund’s net investment gain or loss. This is done by first adding up all the fund’s earnings — from dividends and interest income — and subtracting its operating expenses to determine net investment income (or loss). Then, any net gain or loss the fund realized on the sales of its holdings — as well as any unrealized gains or losses over the period — is added to or subtracted from the net investment result to determine the fund’s net gain or loss for the fiscal period.

Statement of changes in net assets shows how the fund’s net assets were affected by the fund’s net investment gain or loss, by distributions to shareholders, and by changes in the number of the fund’s shares. It lists distributions and their sources (net investment income or realized capital gains) over the current reporting period and the most recent fiscal year-end. The distributions listed here may not match the sources listed in the Statement of operations because the distributions are determined on a tax basis and may be paid in a different period from the one in which they were earned.

Financial highlights provide an overview of the fund’s investment results, per-share distributions, expense ratios, net investment income ratios, and portfolio turnover (not required for money market funds) in one summary table, reflecting the five most recent reporting periods. In a semiannual report, the highlights table also includes the current reporting period.

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Report of Independent Registered Public Accounting Firm

To the Board of Trustees of Putnam Asset Allocation Funds and Shareholders of
Putnam Dynamic Asset Allocation Growth Fund:

Opinion on the Financial Statements

We have audited the accompanying statement of assets and liabilities, including the fund’s portfolio, of Putnam Dynamic Asset Allocation Growth Fund (one of the funds constituting Putnam Asset Allocation Funds, referred to hereafter as the “Fund”) as of September 30, 2023, the related statement of operations for the year ended September 30, 2023, the statement of changes in net assets for each of the two years in the period ended September 30, 2023, including the related notes, and the financial highlights for each of the five years in the period ended September 30, 2023 (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of September 30, 2023, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended September 30, 2023 and the financial highlights for each of the five years in the period ended September 30, 2023 in conformity with accounting principles generally accepted in the United States of America.

Basis for Opinion

These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (“PCAOB”) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.

Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of September 30, 2023 by correspondence with the custodian, transfer agent, agent banks and brokers; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.

PricewaterhouseCoopers LLP
Boston, Massachusetts
November 6, 2023

We have served as the auditor of one or more investment companies in the Putnam Investments family of funds since at least 1957. We have not been able to determine the specific year we began serving as auditor.

Dynamic Asset Allocation Growth Fund 25 

 


 

The fund’s portfolio 9/30/23
COMMON STOCKS (78.6%)* Shares Value
Advertising and marketing services (—%)
Trade Desk, Inc. (The) Class A 7,630 $596,285
596,285
Automotive (1.8%)
Bayerische Motoren Werke AG (Germany) 11,716 1,193,385
Blue Bird Corp. 4,415 94,260
BYD Co., Ltd. Class H (China) 47,500 1,462,116
Dana, Inc. 6,884 100,988
Dr. Ing. h.c. F. Porsche AG (Preference) (Germany) 17,198 1,617,501
Ford Motor Co. 54,647 678,716
General Motors Co. 228,247 7,525,303
Kia Corp. (South Korea) 17,698 1,062,241
PROG Holdings, Inc. 3,134 104,080
Stellantis NV (Italy) 140,526 2,693,934
Tesla, Inc. 62,781 15,709,062
Toyota Motor Corp. (Japan) 11,500 206,647
Triton International, Ltd. (Bermuda) 8,089 665,482
TuSimple Holdings, Inc. Class A 74,787 116,668
United Rentals, Inc. 10,918 4,853,815
Visteon Corp. 4,057 560,150
Volkswagen AG (Preference) (Germany) 16,144 1,858,760
40,503,108
Banking (4.5%)
Abu Dhabi Islamic Bank PJSC (United Arab Emirates) 406,441 1,245,668
AIB Group PLC (Ireland) 145,287 654,252
Alinma Bank (Saudi Arabia) 140,031 1,246,096
Amalgamated Financial Corp. 5,225 89,975
ASR Nederland NV (Netherlands) 13,368 502,016
Associated Banc-Corp. 5,751 98,400
Axos Financial, Inc. 13,590 514,517
Banco Bilbao Vizcaya Argentaria SA (Spain) 343,059 2,793,371
Banco do Brasil SA (Brazil) 69,200 649,522
Banco Latinoamericano de Comercio Exterior SA (Panama) 4,078 86,454
Bank Central Asia Tbk PT (Indonesia) 1,637,800 934,396
Bank Hapoalim MB (Israel) 35,287 313,755
Bank Leumi Le-Israel BM (Israel) 170,659 1,411,086
Bank Mandiri Persero Tbk PT (Indonesia) 3,471,000 1,353,159
Bank of America Corp. 245,969 6,734,631
Bank of Ireland Group PLC (Ireland) 350,200 3,438,828
Bank of New York Mellon Corp. (The) 68,757 2,932,486
Bank of NT Butterfield & Son, Ltd. (The) (Bermuda) 5,113 138,460
Banner Corp. 9,414 398,965
Cathay General Bancorp 12,383 430,433
Central Pacific Financial Corp. 6,344 105,818
Citigroup, Inc. 315,376 12,971,415
ConnectOne Bancorp, Inc. 6,668 118,890
Customers Bancorp, Inc. 10,664 367,375
DBS Group Holdings, Ltd. (Singapore) 95,700 2,349,865
DNB Bank ASA (Norway) 105,988 2,134,744


26 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Banking cont.
East West Bancorp, Inc. 13,229 $697,301
Eastern Bankshares, Inc. 7,944 99,618
Enterprise Financial Services Corp. 7,082 265,575
Erste Group Bank AG (Czech Republic) 22,991 794,228
Fifth Third Bancorp 27,104 686,544
First BanCorp/Puerto Rico (Puerto Rico) 41,619 560,192
First Financial Corp./IN 2,481 83,883
Fulton Financial Corp. 3,780 45,776
Grupo Financiero Banorte SAB de CV Class O (Mexico) 269,762 2,261,032
Hancock Whitney Corp. 11,963 442,511
Hanmi Financial Corp. 8,670 140,714
Heartland Financial USA, Inc. 7,931 233,409
Heritage Commerce Corp. 11,444 96,931
Hilltop Holdings, Inc. 3,793 107,569
Hope Bancorp, Inc. 25,433 225,082
ICICI Bank, Ltd. (India) 377,656 4,318,997
Independent Bank Corp./MI 4,572 83,850
International Bancshares Corp. 2,649 114,808
Israel Discount Bank, Ltd. Class A (Israel) 126,112 680,756
JPMorgan Chase & Co. 97,063 14,076,076
Lloyds Banking Group PLC (United Kingdom) 4,281,321 2,305,344
Mitsubishi UFJ Financial Group, Inc. (Japan) 451,200 3,827,051
Mizrahi Tefahot Bank, Ltd. (Israel) 20,462 740,706
National Australia Bank, Ltd. (Australia) 100,973 1,884,960
National Bank Holdings Corp. Class A 3,186 94,815
Nordea Bank ABP (Finland) 224,845 2,470,783
NU Holdings, Ltd./Cayman Islands Class A (Brazil) 97,134 704,222
OceanFirst Financial Corp. 6,299 91,147
OFG Bancorp (Puerto Rico) 9,408 280,923
Pathward Financial, Inc. 8,071 371,992
Peapack-Gladstone Financial Corp. 3,151 80,823
PNC Financial Services Group, Inc. (The) 33,859 4,156,869
Preferred Bank/Los Angeles CA 3,824 238,044
Premier Financial Corp. 5,303 90,469
QCR Holdings, Inc. 2,204 106,938
S&T Bancorp, Inc. 3,447 93,345
SouthState Corp. 699 47,085
State Street Corp. 21,365 1,430,600
TrustCo Bank Corp. NY 3,282 89,566
UBS Group AG (Switzerland) 136,951 3,385,122
UMB Financial Corp. 1,548 96,053
Wells Fargo & Co. 120,126 4,908,348
WesBanco, Inc. 5,151 125,787
Westamerica Bancorp 7,298 315,639
97,966,060
Basic materials (3.8%)
AdvanSix, Inc. 7,449 231,515
American Vanguard Corp. 7,335 80,172
American Woodmark Corp. 4,507 340,774


Dynamic Asset Allocation Growth Fund 27



COMMON STOCKS (78.6%)* cont. Shares Value
Basic materials cont.
Andersons, Inc. (The) 6,187 $318,692
Anglo American PLC (London Exchange) (United Kingdom) 51,981 1,439,163
Anglo American PLC (Johannesburg Exchange) (United Kingdom) 23,285 644,051
APL Apollo Tubes, Ltd. (India) 38,336 748,737
AptarGroup, Inc. 5,079 635,078
ArcelorMittal SA (France) 81,557 2,039,731
Archer-Daniels-Midland Co. 9,277 699,671
Arcosa, Inc. 1,640 117,916
Arkema SA (France) 6,485 639,470
Atkore, Inc. 4,756 709,548
Avient Corp. 2,469 87,205
BHP Group, Ltd. (ASE Exchange) (Australia) 137,540 3,900,024
BHP Group, Ltd. (London Exchange) (Australia) 9,859 279,328
BlueScope Steel, Ltd. (Australia) 81,857 1,022,283
Boise Cascade Co. 6,106 629,162
Builders FirstSource, Inc. 43,247 5,383,819
CF Industries Holdings, Inc. 8,715 747,224
Cie de Saint-Gobain SA (France) 38,874 2,328,884
Clearwater Paper Corp. 2,982 108,098
Commercial Metals Co. 2,000 98,820
Constellium SE (France) 32,760 596,232
Corteva, Inc. 83,244 4,258,763
CRH PLC (London Exchange) (Ireland) 81,048 4,470,214
CRH PLC (Ireland) 62,308 3,410,117
Dole PLC (Ireland) 8,372 96,948
Dow, Inc. 12,727 656,204
DuPont de Nemours, Inc. 46,727 3,485,367
Eastman Chemical Co. 25,267 1,938,484
Eiffage SA (France) 10,919 1,037,185
Element Solutions, Inc. 33,639 659,661
Fortune Brands Innovations, Inc. 10,594 658,523
Freeport-McMoRan, Inc. (Indonesia) 155,677 5,805,195
Frontdoor, Inc. 14,422 441,169
Glencore PLC (United Kingdom) 281,030 1,607,156
Hansol Chemical Co., Ltd. (South Korea) 4,268 530,414
Holcim AG (Switzerland) 17,745 1,136,133
Huntsman Corp. 27,151 662,484
Innospec, Inc. 3,204 327,449
LightWave Logic, Inc. 36,103 161,380
Limbach Holdings, Inc. 3,788 120,193
Linde PLC 7,887 2,936,725
Martin Marietta Materials, Inc. 6,081 2,496,129
Minerals Technologies, Inc. 1,639 89,752
Misumi Group, Inc. (Japan) 8,000 124,904
Mueller Industries, Inc. 6,838 513,944
Nucor Corp. 4,396 687,315
Olin Corp. 13,414 670,432
Orion Engineered Carbons SA (Luxembourg) 6,263 133,277
PotlatchDeltic Corp. R 3,861 175,251


28 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Basic materials cont.
PPG Industries, Inc. 29,663 $3,850,257
Reliance Steel & Aluminum Co. 2,624 688,092
Rio Tinto PLC (United Kingdom) 18,530 1,164,001
Sherwin-Williams Co. (The) 13,995 3,569,425
Shin-Etsu Chemical Co., Ltd. (Japan) 85,800 2,490,293
Simpson Manufacturing Co., Inc. 1,965 294,377
South32, Ltd. (Australia) 186,631 408,308
Standex International Corp. 758 110,433
Steel Dynamics, Inc. 6,702 718,588
Sterling Construction Co., Inc. 7,338 539,196
Taiyo Nippon Sanso Corp. (Japan) 36,000 853,221
Tenaris SA (Italy) 45,501 718,963
TopBuild Corp. 2,613 657,431
Tronox Holdings PLC Class A 33,647 452,216
Tutor Perini Corp. 8,404 65,803
UFP Industries, Inc. 7,198 737,075
UltraTech Cement, Ltd. (India) 9,242 917,099
WestRock Co. 22,881 819,140
Weyerhaeuser Co. R 44,085 1,351,646
Worthington Industries, Inc. 649 40,121
Yara International ASA (Norway) 21,005 795,534
84,357,584
Broadcasting (—%)
Sinclair, Inc. 8,979 100,744
100,744
Building materials (0.1%)
AAON, Inc. 1,445 82,177
Apogee Enterprises, Inc. 2,349 110,591
JELD-WEN Holding, Inc. 18,238 243,660
Masonite International Corp. 1,621 151,110
Modine Manufacturing Co. 12,404 567,483
Owens Corning 5,743 783,403
PGT Innovations, Inc. 4,643 128,843
2,067,267
Capital goods (3.6%)
Adient PLC 2,640 96,888
Aeva Technologies, Inc. 53,338 40,798
Alamo Group, Inc. 556 96,110
Albany International Corp. Class A 1,355 116,909
Allison Transmission Holdings, Inc. 13,994 826,486
American Axle & Manufacturing Holdings, Inc. 47,319 343,536
Applied Industrial Technologies, Inc. 2,986 461,665
Aptiv PLC 8,839 871,437
Astec Industries, Inc. 2,280 107,411
Astronics Corp. 6,531 103,582
BAE Systems PLC (United Kingdom) 209,066 2,537,824
Ball Corp. 35,711 1,777,694
Barnes Group, Inc. 2,762 93,825
Belden, Inc. 2,710 261,651


Dynamic Asset Allocation Growth Fund 29



COMMON STOCKS (78.6%)* cont. Shares Value
Capital goods cont.
Berry Global Group, Inc. 10,852 $671,847
Boeing Co. (The) 3,289 630,436
Caterpillar, Inc. 7,177 1,959,321
Comfort Systems USA, Inc. 660 112,471
Cummins, Inc. 2,865 654,538
Dassault Aviation SA (France) 3,186 599,271
Deere & Co. 1,721 649,471
Eaton Corp. PLC 2,825 602,516
Ebara Corp. (Japan) 16,000 749,502
Elite Material Co., Ltd. (Taiwan) 39,000 521,095
Emerson Electric Co. 7,011 677,052
Encore Wire Corp. 1,930 352,148
Enviri Corp. 13,788 99,549
Fortive Corp. 9,704 719,649
Franklin Electric Co., Inc. 1,248 111,359
GEA Group AG (Germany) 23,310 861,605
Gentherm, Inc. 1,657 89,909
GrafTech International, Ltd. 73,748 282,455
HEICO Corp. 3,979 644,319
Hillenbrand, Inc. 3,860 163,317
Honeywell International, Inc. 21,590 3,988,537
Hyster-Yale Materials Handling, Inc. 3,450 153,801
Ingersoll Rand, Inc. 69,538 4,430,961
ITT, Inc. 6,651 651,199
Jacobs Solutions, Inc. 9,005 1,229,183
Johnson Controls International PLC 105,990 5,639,727
KEI Industries, Ltd. (India) 46,217 1,469,585
Kone Oyj Class B (Finland) 5,169 217,943
L3Harris Technologies, Inc. 4,104 714,588
Legrand SA (France) 11,816 1,084,434
LKQ Corp. 13,217 654,374
Lockheed Martin Corp. 1,792 732,856
Mitsubishi Electric Corp. (Japan) 75,000 927,229
Mitsubishi Heavy Industries, Ltd. (Japan) 43,500 2,437,138
MYR Group, Inc. 1,171 157,804
NGK Insulators, Ltd. (Japan) 49,800 660,066
nLight, Inc. 7,000 72,800
Northrop Grumman Corp. 9,862 4,341,154
O-I Glass, Inc. 27,086 453,149
Otis Worldwide Corp. 8,640 693,878
Parker Hannifin Corp. 1,422 553,897
Powell Industries, Inc. 2,292 190,007
Prysmian SpA (Italy) 85,317 3,422,887
Republic Services, Inc. 4,934 703,144
Rheinmetall AG (Germany) 4,129 1,064,548
RTX Corp. 52,967 3,812,035
Ryerson Holding Corp. 12,180 354,316
Shyft Group, Inc. (The) 6,396 95,748
Standard Motor Products, Inc. 1,249 41,991


30 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Capital goods cont.
Stoneridge, Inc. 4,865 $97,641
Terex Corp. 10,731 618,320
Tetra Tech, Inc. 4,746 721,534
Textron, Inc. 9,047 706,933
Titan International, Inc. 10,335 138,799
Titan Machinery, Inc. 3,936 104,619
TransDigm Group, Inc. 3,364 2,836,290
Valmont Industries, Inc. 2,808 674,510
Vertiv Holdings Co. 106,967 3,979,172
Vinci SA (France) 44,826 4,962,540
Waste Connections, Inc. 14,935 2,005,771
Watts Water Technologies, Inc. Class A 740 127,887
Xylem, Inc./NY 7,171 652,776
Zurn Elkay Water Solutions Corp. 17,218 482,448
77,945,865
Commercial and consumer services (2.5%)
Arrowhead Pharmaceuticals, Inc. 13,017 349,767
Automatic Data Processing, Inc. 36,934 8,885,582
Barrett Business Services, Inc. 1,064 96,015
Booking Holdings, Inc. 4,275 13,183,886
Centre Testing International Group Co., Ltd. Class A (China) 242,969 620,788
Cimpress PLC (Ireland) 4,972 348,090
Cintas Corp. 1,372 659,946
Compass Group PLC (United Kingdom) 93,746 2,283,815
CoStar Group, Inc. 20,320 1,562,405
Ecolab, Inc. 3,704 627,458
Expedia Group, Inc. 7,640 787,455
Experian PLC (United Kingdom) 54,052 1,765,833
Forrester Research, Inc. 1,614 46,645
Franklin Covey Co. 2,472 106,098
Global Payments, Inc. 5,452 629,106
Green Dot Corp. Class A 6,997 97,468
Huron Consulting Group, Inc. 1,116 116,243
Jardine Matheson Holdings, Ltd. (Hong Kong) 10,200 473,287
Laureate Education, Inc. 38,061 536,660
LiveRamp Holdings, Inc. 17,941 517,418
Mastercard, Inc. Class A 28,367 11,230,779
PayPal Holdings, Inc. 120,265 7,030,692
Pitney Bowes, Inc. 59,483 179,639
RE/MAX Holdings, Inc. Class A 4,863 62,927
SP Plus Corp. 2,862 103,318
StoneCo., Ltd. Class A (Brazil) 39,569 422,201
WEX, Inc. 3,389 637,437
Worldline SA/France (France) 33,461 935,647
54,296,605
Communication services (1.3%)
American Tower Corp. R 45,155 7,425,740
AT&T, Inc. 269,111 4,042,047
Cambium Networks Corp. 5,778 42,353


Dynamic Asset Allocation Growth Fund 31



COMMON STOCKS (78.6%)* cont. Shares Value
Communication services cont.
Charter Communications, Inc. Class A 7,956 $3,499,208
Comcast Corp. Class A 79,868 3,541,347
Crown Castle, Inc. R 7,026 646,603
Iridium Communications, Inc. 13,983 636,087
KDDI Corp. (Japan) 31,700 970,378
Liberty Latin America, Ltd. Class C (Chile) 48,499 395,752
Nippon Telegraph & Telephone Corp. (Japan) 937,200 1,106,925
Samsung SDI Co., Ltd. (South Korea) 3,177 1,204,735
SBA Communications Corp. R 9,202 1,841,964
T-Mobile US, Inc. 15,633 2,189,402
Telstra Group, Ltd. (Australia) 553,397 1,368,480
Verizon Communications, Inc. 20,934 678,471
29,589,492
Communications equipment (—%)
Motorola Solutions, Inc. 2,364 643,575
Viavi Solutions, Inc. 10,014 91,528
735,103
Computers (5.5%)
A10 Networks, Inc. 27,366 411,311
Accton Technology Corp. (Taiwan) 69,000 1,053,919
Adeia, Inc. 26,069 278,417
Agilysys, Inc. 3,213 212,572
Amplitude, Inc. Class A 9,752 112,831
AppFolio, Inc. Class A 566 103,369
Apple, Inc. 485,870 83,185,802
Asana, Inc. Class A 4,926 90,195
AURAS Technology Co., Ltd. (Taiwan) 47,000 465,658
Bandwidth, Inc. Class A 12,371 139,421
Calix, Inc. 11,732 537,795
Cisco Systems, Inc. 135,269 7,272,061
CommVault Systems, Inc. 8,187 553,523
Dropbox, Inc. Class A 25,038 681,785
Elastic NV 11,939 969,924
Enfusion, Inc. Class A 12,173 109,192
Extreme Networks, Inc. 23,580 570,872
Fortinet, Inc. 11,061 649,059
Fujitsu, Ltd. (Japan) 16,800 1,976,634
GitLab, Inc. Class A 14,948 675,949
HashiCorp., Inc. Class A 27,468 627,094
MongoDB, Inc. 2,314 800,320
MSCI, Inc. 7,114 3,650,051
NetApp, Inc. 4,559 345,937
NetScout Systems, Inc. 3,761 105,383
OneSpan, Inc. 8,516 91,547
PDF Solutions, Inc. 2,715 87,966
Phreesia, Inc. 9,743 181,999
PlayAGS, Inc. 10,106 65,891
Pure Storage, Inc. Class A 16,636 592,574
Qualys, Inc. 4,388 669,389


32 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Computers cont.
Rapid7, Inc. 12,209 $558,928
RingCentral, Inc. Class A 21,656 641,667
Smartsheet, Inc. Class A 21,483 869,202
Snowflake, Inc. Class A 4,414 674,327
Super Micro Computer, Inc. 3,294 903,281
Synopsys, Inc. 17,953 8,239,888
Vimeo, Inc. 47,461 168,012
Weave Communications, Inc. 24,797 202,096
Yext, Inc. 44,603 282,337
119,808,178
Conglomerates (0.6%)
3M Co. 6,619 619,671
AMETEK, Inc. 36,106 5,335,023
General Electric Co. 5,938 656,446
Marubeni Corp. (Japan) 141,700 2,208,343
Mitsubishi Corp. (Japan) 41,900 1,996,143
Mitsui & Co., Ltd. (Japan) 72,400 2,624,073
SPX Technologies, Inc. 4,062 330,647
13,770,346
Consumer (0.5%)
LVMH Moet Hennessy Louis Vuitton SA (France) 13,226 9,978,047
Pandora A/S (Denmark) 12,339 1,272,012
Signet Jewelers, Ltd. 7,584 544,607
11,794,666
Consumer finance (0.9%)
American Express Co. 6,328 944,074
Bread Financial Holdings, Inc. 15,075 515,565
Capital One Financial Corp. 31,236 3,031,454
Discover Financial Services 71,648 6,206,866
Enova International, Inc. 3,013 153,271
Mr. Cooper Group, Inc. 11,713 627,348
Navient Corp. 30,664 528,034
PennyMac Financial Services, Inc. 3,301 219,847
SLM Corp. 45,385 618,144
Synchrony Financial 21,818 666,976
Visa, Inc. Class A 31,434 7,230,134
20,741,713
Consumer staples (5.6%)
A-Mark Precious Metals, Inc. 4,571 134,067
ACCO Brands Corp. 19,641 112,739
Alsea SAB de CV (Mexico) 133,060 485,590
Altria Group, Inc. 65,489 2,753,812
Asahi Group Holdings, Ltd. (Japan) 60,600 2,265,651
Auto Trader Group PLC (United Kingdom) 121,479 910,594
Bloomin’ Brands, Inc. 3,765 92,581
Brink’s Co. (The) 6,848 497,439
Cal-Maine Foods, Inc. 2,096 101,488
Cargurus, Inc. 19,163 335,736
Carlsberg A/S Class B (Denmark) 2,060 259,583


Dynamic Asset Allocation Growth Fund 33



COMMON STOCKS (78.6%)* cont. Shares Value
Consumer staples cont.
Carrols Restaurant Group, Inc. 28,049 $184,843
Chipotle Mexican Grill, Inc. 1,785 3,269,817
CK Hutchison Holdings, Ltd. (Hong Kong) 608,000 3,240,423
Coca-Cola Bottlers Japan Holdings, Inc. (Japan) 75,400 985,505
Coca-Cola Co. (The) 244,608 13,693,156
Coca-Cola Consolidated, Inc. 857 545,326
Coca-Cola Europacific Partners PLC (Spain) 49,516 3,093,760
Coca-Cola HBC AG (Italy) 59,572 1,630,464
Coles Group, Ltd. (Australia) 112,617 1,121,575
Colgate-Palmolive Co. 9,657 686,709
CoreCivic, Inc. 10,239 115,189
Costco Wholesale Corp. 12,283 6,939,404
Coursera, Inc. 8,582 160,398
Dave & Buster’s Entertainment, Inc. 4,692 173,932
Dino Polska SA (Poland) 8,213 663,736
DoorDash, Inc. Class A 10,047 798,435
e.l.f. Beauty, Inc. 860 94,454
Etsy, Inc. 10,409 672,213
First Watch Restaurant Group, Inc. 10,050 173,765
Heidrick & Struggles International, Inc. 6,071 151,896
Hershey Co. (The) 3,273 654,862
Hostess Brands, Inc. 16,174 538,756
Hudson Technologies, Inc. 11,125 147,963
Imperial Brands PLC (United Kingdom) 104,182 2,115,608
Ingles Markets, Inc. Class A 2,410 181,545
Insperity, Inc. 976 95,258
Inter Parfums, Inc. 4,092 549,719
ITOCHU Corp. (Japan) 81,700 2,951,840
Itron, Inc. 9,184 556,367
Jeronimo Martins SGPS SA (Portugal) 24,872 558,205
John B. Sanfilippo & Son, Inc. 1,316 130,021
Kenvue, Inc. 91,388 1,835,071
Kerry Group PLC Class A (Ireland) 7,847 655,051
Keurig Dr Pepper, Inc. 110,727 3,495,652
Koninklijke Ahold Delhaize NV (Netherlands) 72,520 2,186,703
Korn Ferry 9,161 434,598
L’Oreal SA (France) 7,826 3,241,055
MakeMyTrip, Ltd. (India) 37,965 1,538,342
McDonald’s Corp. 2,225 586,154
MercadoLibre, Inc. (Brazil) 1,025 1,299,577
Mondelez International, Inc. Class A 35,855 2,488,337
Nestle SA (Switzerland) 51,299 5,792,754
Nissin Food Products Co., Ltd. (Japan) 14,300 1,187,964
PDD Holdings, Inc. ADR (China) 4,573 448,474
PepsiCo, Inc. 6,079 1,030,026
Perdoceo Education Corp. 15,349 262,468
Philip Morris International, Inc. 110,017 10,185,374
Primo Water Corp. 6,499 89,686
Procter & Gamble Co. (The) 62,342 9,093,205


34 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Consumer staples cont.
Recruit Holdings Co., Ltd. (Japan) 79,800 $2,457,398
Resideo Technologies, Inc. 6,693 105,749
Resources Connection, Inc. 6,084 90,712
Sally Beauty Holdings, Inc. 28,723 240,699
Shoprite Holdings, Ltd. (South Africa) 67,515 855,103
Simply Good Foods Co. (The) 9,552 329,735
Sodexo SA (France) 7,250 746,658
Sumber Alfaria Trijaya Tbk PT (Indonesia) 4,068,800 779,441
Turning Point Brands, Inc. 3,433 79,268
Uber Technologies, Inc. 192,381 8,847,602
Udemy, Inc. 5,240 49,780
Unilever PLC (United Kingdom) 53,081 2,619,449
United Natural Foods, Inc. 5,386 76,158
Upwork, Inc. 37,509 426,102
USANA Health Sciences, Inc. 1,820 106,670
Vector Group, Ltd. 12,382 131,744
WH Group, Ltd. (Hong Kong) 1,103,500 575,793
Yakult Honsha Co., Ltd. (Japan) 111,000 2,696,206
121,889,182
Electronics (4.5%)
Advanced Micro Devices, Inc. 41,068 4,222,612
Allied Motion Technologies, Inc. 2,324 71,858
Ambarella, Inc. 1,600 84,848
Broadcom, Inc. 14,040 11,661,343
CEVA, Inc. 4,174 80,934
ESCO Technologies, Inc. 1,649 172,222
Hamamatsu Photonics KK (Japan) 12,400 521,352
Hoya Corp. (Japan) 37,200 3,833,592
Keysight Technologies, Inc. 4,998 661,285
NVIDIA Corp. 98,455 42,826,941
NXP Semiconductors NV 12,377 2,474,410
Qorvo, Inc. 7,285 695,499
Qualcomm, Inc. 116,221 12,907,505
Rambus, Inc. 11,088 618,600
Samsung Electronics Co., Ltd. (South Korea) 76,311 3,866,294
Shenzhen Inovance Technology Co., Ltd. Class A (China) 24,350 223,092
Shimadzu Corp. (Japan) 42,000 1,115,403
Sinbon Electronics Co., Ltd. (Taiwan) 121,000 1,214,245
SK Hynix, Inc. (South Korea) 16,143 1,371,145
STMicroelectronics NV (France) 24,773 1,067,332
Synaptics, Inc. 2,297 205,444
TDK Corp. (Japan) 15,000 555,499
Thales SA (France) 23,068 3,236,748
Trimble, Inc. 6,369 343,034
TTM Technologies, Inc. 9,670 124,550
Vishay Intertechnology, Inc. 5,485 135,589
Vontier Corp. 81,394 2,516,703
Woodward, Inc. 5,323 661,436
97,469,515


Dynamic Asset Allocation Growth Fund 35



COMMON STOCKS (78.6%)* cont. Shares Value
Energy (4.0%)
Alpha Metallurgical Resources, Inc. 2,717 $705,686
Amplify Energy Corp. 14,375 105,656
APA Corp. 16,933 695,946
Arch Resources, Inc. 2,075 354,120
BP PLC (United Kingdom) 969,569 6,260,357
California Resources Corp. 11,111 622,327
Cheniere Energy, Inc. 26,642 4,421,506
Chevron Corp. 4,576 771,605
Chord Energy Corp. 3,805 616,676
Comstock Resources, Inc. 8,646 95,365
ConocoPhillips 53,164 6,369,047
CONSOL Energy, Inc. 5,261 551,932
Delek US Holdings, Inc. 3,721 105,714
DMC Global, Inc. 3,610 88,337
Equinor ASA (Norway) 65,284 2,140,441
Exxon Mobil Corp. 189,022 22,225,207
Golar LNG, Ltd. (Norway) 20,552 498,592
Marathon Oil Corp. 264,723 7,081,340
Marathon Petroleum Corp. 30,853 4,669,293
Murphy Oil Corp. 1,043 47,300
Nabors Industries, Ltd. 1,613 198,625
Newpark Resources, Inc. 15,751 108,839
NOW, Inc. 31,336 371,958
Oceaneering International, Inc. 4,701 120,910
Par Pacific Holdings, Inc. 15,669 563,144
PBF Energy, Inc. Class A 14,712 787,533
Peabody Energy Corp. 4,871 126,597
PetroChina Co., Ltd. Class H (China) 2,416,000 1,813,675
PRIO SA (Brazil) 101,700 951,740
Reliance Industries, Ltd. (India) 65,433 1,836,702
Repsol SA (Spain) 147,601 2,429,748
Schlumberger, Ltd. 11,336 660,889
Shell PLC (United Kingdom) 152,668 4,921,051
Shell PLC (United Kingdom) 91,842 2,915,986
SM Energy Co. 14,123 559,977
SunCoke Energy, Inc. 20,119 204,208
Targa Resources Corp. 8,145 698,189
Thermon Group Holdings, Inc. 6,708 184,269
TotalEnergies SE (France) 32,537 2,141,174
US Silica Holdings, Inc. 35,151 493,520
Valero Energy Corp. 35,636 5,049,978
W&T Offshore, Inc. 24,099 105,554
Warrior Met Coal, Inc. 13,761 702,912
Weatherford International PLC 8,139 735,196
87,108,821
Entertainment (0.2%)
Live Nation Entertainment, Inc. 23,776 1,974,359
Sony Group Corp. (Japan) 27,000 2,208,645
4,183,004


36 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Financial (1.0%)
3i Group PLC (United Kingdom) 94,829 $2,386,887
Ally Financial, Inc. 23,843 636,131
Apollo Global Management, Inc. 48,362 4,340,974
B3 SA — Brasil Bolsa Balcao (Brazil) 303,700 742,552
Deutsche Boerse AG (Germany) 7,895 1,364,614
Eurazeo SE (France) 3,997 238,104
Euronext NV (France) 20,188 1,404,913
Global Net Lease, Inc. R 8,833 84,885
Hong Kong Exchanges and Clearing, Ltd. (Hong Kong) 5,300 197,594
Intercontinental Exchange, Inc. 6,205 682,674
Japan Exchange Group, Inc. (Japan) 137,900 2,557,704
Jefferies Financial Group, Inc. 17,787 651,538
Julius Baer Group, Ltd. (Switzerland) 37,636 2,411,935
London Stock Exchange Group PLC (United Kingdom) 25,435 2,553,340
MGIC Investment Corp. 72,375 1,207,939
Nasdaq, Inc. 13,234 643,040
NMI Holdings, Inc. Class A 3,456 93,623
22,198,447
Gaming and lottery (0.3%)
Aristocrat Leisure, Ltd. (Australia) 86,983 2,282,541
Boyd Gaming Corp. 10,537 640,966
Caesars Entertainment, Inc. 12,362 572,979
DraftKings, Inc. Class A 21,541 634,167
Golden Entertainment, Inc. 4,626 158,117
International Game Technology PLC 19,482 590,694
La Francaise des Jeux SAEM (France) 8,544 277,469
Light & Wonder, Inc. 10,161 724,784
Red Rock Resorts, Inc. Class A 11,472 470,352
6,352,069
Health care (10.0%)
2seventy bio, Inc. 19,592 76,801
Abbott Laboratories 130,680 12,656,358
AbbVie, Inc. 49,230 7,338,217
ACADIA Pharmaceuticals, Inc. 22,962 478,528
Adaptive Biotechnologies Corp. 51,787 282,239
Addus HomeCare Corp. 1,135 96,691
Agenus, Inc. 84,484 95,467
Alkermes PLC 20,826 583,336
Amgen, Inc. 3,003 807,086
AMN Healthcare Services, Inc. 1,155 98,383
Amneal Pharmaceuticals, Inc. 40,792 172,142
Amylyx Pharmaceuticals, Inc. 12,398 227,007
AngioDynamics, Inc. 13,643 99,730
Apollo Hospitals Enterprise, Ltd. (India) 11,482 710,795
Arcellx, Inc. 10,953 392,994
Arcturus Therapeutics Holdings, Inc. 15,969 408,008
Arvinas, Inc. 4,115 80,819
AstraZeneca PLC (United Kingdom) 64,677 8,704,023
AstraZeneca PLC (Rights) (United Kingdom) F 3,617 11,068


Dynamic Asset Allocation Growth Fund 37



COMMON STOCKS (78.6%)* cont. Shares Value
Health care cont.
AstraZeneca PLC ADR (United Kingdom) 69,184 $4,685,140
AtriCure, Inc. 7,354 322,105
Avanos Medical, Inc. 8,155 164,894
Axonics, Inc. 1,612 90,465
Bio-Rad Laboratories, Inc. Class A 1,963 703,637
Biohaven, Ltd. 23,178 602,860
bioMerieux (France) 4,389 424,347
Boston Scientific Corp. 49,748 2,626,695
Bristol-Myers Squibb Co. 11,274 654,343
Cabaletta Bio, Inc. 15,816 240,720
Cardinal Health, Inc. 41,115 3,569,604
Castle Biosciences, Inc. 6,748 113,974
Catalyst Pharmaceuticals, Inc. 7,968 93,146
Cigna Corp. 26,509 7,583,430
Cogent Biosciences, Inc. 7,497 73,096
Computer Programs and Systems, Inc. 3,189 50,833
Corcept Therapeutics, Inc. 6,687 182,187
CVS Health Corp. 30,170 2,106,469
Danaher Corp. 28,546 7,082,263
Dentsply Sirona, Inc. 19,740 674,318
Dexcom, Inc. 32,744 3,055,015
Dyne Therapeutics, Inc. 9,525 85,344
Edwards Lifesciences Corp. 9,087 629,547
Elevance Health, Inc. 14,625 6,368,017
Eli Lilly and Co. 43,943 23,603,103
Enanta Pharmaceuticals, Inc. 7,938 88,667
Exelixis, Inc. 36,352 794,291
Fate Therapeutics, Inc. 35,545 75,355
Fulgent Genetics, Inc. 6,883 184,051
GE HealthCare Technologies, Inc. 5,494 373,812
Genelux Corp. 3,976 97,372
Glaukos Corp. 2,758 207,540
GlaxoSmithKline PLC (United Kingdom) 170,351 3,079,551
HCA Healthcare, Inc. 2,466 606,587
Health Catalyst, Inc. 12,957 131,125
HealthEquity, Inc. 1,628 118,925
Hologic, Inc. 9,156 635,426
Humana, Inc. 5,458 2,655,426
IDEXX Laboratories, Inc. 3,002 1,312,685
IGM Biosciences, Inc. 9,887 82,556
ImmunoGen, Inc. 20,041 318,051
Inari Medical, Inc. 1,771 115,823
Incyte Corp. 43,454 2,510,338
Inspire Medical Systems, Inc. 2,951 585,596
Intuitive Surgical, Inc. 14,210 4,153,441
Ipsen SA (France) 4,789 627,254
IQVIA Holdings, Inc. 3,631 714,399
Jazz Pharmaceuticals PLC 5,079 657,426
Johnson & Johnson 4,004 623,623


38 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Health care cont.
Keros Therapeutics, Inc. 2,603 $82,984
Kiniksa Pharmaceuticals, Ltd. Class A 10,688 185,651
Lantheus Holdings, Inc. 7,868 546,669
Ligand Pharmaceuticals, Inc. 1,512 90,599
LivaNova PLC (United Kingdom) 8,799 465,291
Lonza Group AG (Switzerland) 1,711 791,589
MacroGenics, Inc. 11,151 51,964
Marinus Pharmaceuticals, Inc. 13,797 111,066
Max Healthcare Institute, Ltd. (India) 185,586 1,267,919
McKesson Corp. 16,922 7,358,532
Medpace Holdings, Inc. 2,376 575,301
Medtronic PLC 8,922 699,128
Merck & Co., Inc. 146,903 15,123,663
Merck KGaA (Germany) 11,538 1,928,472
Mettler-Toledo International, Inc. 522 578,413
MiMedx Group, Inc. 23,027 167,867
Neurocrine Biosciences, Inc. 6,769 761,513
Nevro Corp. 4,935 94,851
Novartis AG (Switzerland) 46,757 4,771,268
Novavax, Inc. 52,980 383,575
Novo Nordisk A/S Class B (Denmark) 95,973 8,730,264
Olympus Corp. (Japan) 69,100 895,264
Ono Pharmaceutical Co., Ltd. (Japan) 54,100 1,037,624
Option Care Health, Inc. 17,998 582,235
OraSure Technologies, Inc. 26,041 154,423
Orthofix Medical, Inc. (Netherlands) 5,887 75,707
Pacific Biosciences of California, Inc. 10,719 89,504
PetIQ, Inc. 12,940 254,918
Pfizer, Inc. 19,866 658,955
PTC Therapeutics, Inc. 12,542 281,066
Quanterix Corp. 8,838 239,863
Quantum-Si, Inc. 41,754 69,312
RadNet, Inc. 6,829 192,510
RAPT Therapeutics, Inc. 5,518 91,709
Regeneron Pharmaceuticals, Inc. 9,540 7,851,038
ResMed, Inc. 4,316 638,207
Roche Holding AG (Switzerland) 16,360 4,462,438
Sabra Health Care REIT, Inc. R 26,711 372,351
Sanofi (France) 59,502 6,384,694
Schrodinger, Inc. 3,082 87,128
Select Medical Holdings Corp. 9,435 238,422
Shenzhen Mindray Bio-Medical Electronics Co., Ltd. Class A (China) 8,000 296,261
SI-BONE, Inc. 4,573 97,131
Sonic Healthcare, Ltd. (Australia) 80,011 1,530,811
STAAR Surgical Co. 6,744 270,974
Sun Pharmaceutical Industries, Ltd. (India) 48,519 674,164
Surmodics, Inc. 3,203 102,784
Sutro Biopharma, Inc. 17,938 62,245
Teladoc Health, Inc. 31,635 588,095


Dynamic Asset Allocation Growth Fund 39



COMMON STOCKS (78.6%)* cont. Shares Value
Health care cont.
Tenaya Therapeutics, Inc. 15,786 $40,254
TG Therapeutics, Inc. 9,080 75,909
Thermo Fisher Scientific, Inc. 8,980 4,545,406
UnitedHealth Group, Inc. 20,653 10,413,036
Veradigm, Inc. 29,166 383,241
Vertex Pharmaceuticals, Inc. 24,758 8,609,347
Viatris, Inc. 35,106 346,145
Voyager Therapeutics, Inc. 20,320 157,480
West Pharmaceutical Services, Inc. 857 321,555
Zimmer Biomet Holdings, Inc. 5,426 608,906
Zymeworks, Inc. 19,346 122,654
218,524,909
Homebuilding (0.5%)
Beazer Homes USA, Inc. 18,251 454,632
Forestar Group, Inc. 7,574 204,044
Hovnanian Enterprises, Inc. Class A 2,219 225,584
KB Home 2,134 98,762
Lennar Corp. Class A 5,788 649,587
M/I Homes, Inc. 5,897 495,584
NVR, Inc. 105 626,147
PulteGroup, Inc. 92,117 6,821,264
Skyline Champion Corp. 4,689 298,783
Toll Brothers, Inc. 7,881 582,879
TRI Pointe Homes, Inc. 18,831 515,028
10,972,294
Household furniture and appliances (—%)
Rational AG (Germany) 379 239,948
239,948
Insurance (2.4%)
AIA Group, Ltd. (Hong Kong) 131,600 1,064,521
Allianz SE (Germany) 4,434 1,057,338
American Equity Investment Life Holding Co. 12,097 648,883
American Financial Group, Inc. 6,227 695,369
American International Group, Inc. 163,031 9,879,679
Assured Guaranty, Ltd. 44,056 2,666,269
Aviva PLC (United Kingdom) 233,247 1,102,857
AXA SA (France) 182,456 5,404,407
Berkshire Hathaway, Inc. Class B 6,836 2,394,651
Chubb, Ltd. 3,546 738,206
CNO Financial Group, Inc. 24,580 583,283
Corebridge Financial, Inc. 38,219 754,825
Employers Holdings, Inc. 3,086 123,286
Equitable Holdings, Inc. 96,784 2,747,698
Essent Group, Ltd. 13,690 647,400
Genworth Financial, Inc. Class A 99,903 585,432
Gjensidige Forsikring ASA (Norway) 13,024 191,384
Globe Life, Inc. 6,353 690,762
Horace Mann Educators Corp. 9,846 289,275
Jackson Financial, Inc. Class A 15,219 581,670


40 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Insurance cont.
Loews Corp. 11,319 $716,606
Marsh & McLennan Cos., Inc. 3,437 654,061
MetLife, Inc. 79,745 5,016,758
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen (Germany) 4,172 1,627,616
Ping An Insurance Group Co. of China, Ltd. Class H (China) 203,000 1,149,833
Prudential PLC (United Kingdom) 137,562 1,481,284
Reinsurance Group of America, Inc. 13,879 2,015,092
RenaissanceRe Holdings, Ltd. 3,632 718,845
Sampo Oyj Class A (Finland) 43,483 1,879,865
SiriusPoint, Ltd. (Bermuda) 10,603 107,833
Tokio Marine Holdings, Inc. (Japan) 55,700 1,284,016
Universal Insurance Holdings, Inc. 8,232 115,413
Unum Group 14,906 733,226
W.R. Berkley Corp. 10,788 684,930
Zurich Insurance Group AG (Switzerland) 2,023 927,014
51,959,587
Investment banking/Brokerage (1.0%)
Affiliated Managers Group, Inc. 5,646 735,900
Ameriprise Financial, Inc. 10,317 3,401,309
BGC Group, Inc. Class A 88,106 465,200
Charles Schwab Corp. (The) 99,054 5,438,065
Exor NV (Netherlands) 8,413 745,754
Goldman Sachs Group, Inc. (The) 23,267 7,528,503
Investor AB Class B (Sweden) 127,461 2,439,684
SEI Investments Co. 11,932 718,664
StoneX Group, Inc. 3,702 358,798
Virtu Financial, Inc. Class A 39,290 678,538
Virtus Investment Partners, Inc. 1,387 280,160
22,790,575
Leisure (—%)
MasterCraft Boat Holdings, Inc. 4,561 101,345
101,345
Lodging/Tourism (0.5%)
Bluegreen Vacations Holding Corp. 1,308 47,977
H World Group, Ltd. ADR (China) 31,628 1,247,092
Hilton Worldwide Holdings, Inc. 25,391 3,813,220
Host Hotels & Resorts, Inc. R 40,706 654,145
Indian Hotels Co., Ltd. (India) 310,566 1,533,719
InterContinental Hotels Group PLC (United Kingdom) 16,295 1,201,309
Marriott International, Inc./MD Class A 3,461 680,294
MGM Resorts International 15,752 579,044
Ryman Hospitality Properties, Inc. R 7,788 648,585
10,405,385
Media (0.8%)
Informa PLC (United Kingdom) 196,925 1,794,452
Netflix, Inc. 33,176 12,527,258
Universal Music Group NV (Netherlands) 150,547 3,914,939
18,236,649


Dynamic Asset Allocation Growth Fund 41



COMMON STOCKS (78.6%)* cont. Shares Value
Publishing (0.1%)
Wolters Kluwer NV (Netherlands) 19,268 $2,333,465
2,333,465
Real estate (1.3%)
Alexander & Baldwin, Inc. R 12,359 206,766
American Assets Trust, Inc. R 4,744 92,271
Anywhere Real Estate, Inc. 36,840 236,881
Apartment Income REIT Corp. R 21,518 660,603
Apple Hospitality REIT, Inc. R 14,500 222,430
Armada Hoffler Properties, Inc. R 8,588 87,941
AvalonBay Communities, Inc. R 3,714 637,842
BrightSpire Capital, Inc. R 36,680 229,617
Brixmor Property Group, Inc. R 51,535 1,070,897
Broadstone Net Lease, Inc. R 5,905 84,442
Camden Property Trust R 6,737 637,185
COPT Defense Properties R 4,129 98,394
Cushman & Wakefield PLC 27,288 207,935
Equity Residential R 32,111 1,885,237
Essential Properties Realty Trust, Inc. R 4,544 98,287
Essex Property Trust, Inc. R 3,093 655,994
First Industrial Realty Trust, Inc. R 13,249 630,520
Gaming and Leisure Properties, Inc. R 82,899 3,776,049
Goodman Group (Australia) R 173,992 2,410,351
Granite Point Mortgage Trust, Inc. R 20,790 101,455
Kennedy-Wilson Holdings, Inc. 24,069 354,777
Ladder Capital Corp. R 9,480 97,265
MFA Financial, Inc. R 17,031 163,668
Mid-America Apartment Communities, Inc. R 5,070 652,256
National Health Investors, Inc. R 5,094 261,628
National Retail Properties, Inc. 45,663 1,613,730
Open House Co., Ltd. (Japan) 5,700 193,388
Phoenix Mills, Ltd. (The) (India) 38,676 845,802
Piedmont Office Realty Trust, Inc. Class A R 20,295 114,058
Public Storage R 2,249 592,656
Regency Centers Corp. R 10,820 643,141
Retail Opportunity Investments Corp. R 24,493 303,223
Rithm Capital Corp. R 73,012 678,281
RMR Group, Inc. (The) Class A 3,426 84,006
Safehold, Inc. R 5,107 90,905
Service Properties Trust R 12,056 92,711
Simon Property Group, Inc. R 16,816 1,816,632
SITE Centers Corp. R 7,964 98,196
Sunstone Hotel Investors, Inc. R 62,485 584,235
Tanger Factory Outlet Centers, Inc. R 4,152 93,835
Taylor Morrison Home Corp. 14,231 606,383
Terreno Realty Corp. R 1,623 92,186
TPG RE Finance Trust, Inc. R 15,062 101,367
UDR, Inc. R 17,990 641,703
Urban Edge Properties R 6,983 106,561
Vicinity, Ltd. (Australia) R 541,666 590,367


42 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Real estate cont.
Vornado Realty Trust R 87,957 $1,994,865
Whitestone REIT R 10,036 96,647
27,635,569
Retail (4.8%)
Amazon.com, Inc. 302,770 38,488,122
Arezzo Industria e Comercio SA (Brazil) 34,900 451,026
AutoZone, Inc. 278 706,117
BJ’s Wholesale Club Holdings, Inc. 28,698 2,048,176
BlueLinx Holdings, Inc. 2,673 219,427
Buckle, Inc. (The) 2,983 99,602
Caleres, Inc. 14,924 429,214
Dillard’s, Inc. Class A 1,565 517,718
GMS, Inc. 6,847 438,003
Group 1 Automotive, Inc. 372 99,960
Home Depot, Inc. (The) 18,489 5,586,636
Industria de Diseno Textil SA (Spain) 69,027 2,569,138
JD Sports Fashion PLC (United Kingdom) 1,037,089 1,889,352
Lowe’s Cos., Inc. 2,839 590,058
Lululemon Athletica, Inc. (Canada) 12,854 4,956,631
Movado Group, Inc. 3,422 93,592
Nike, Inc. Class B 26,075 2,493,292
O’Reilly Automotive, Inc. 15,534 14,118,231
Pan Pacific International Holdings Corp. (Japan) 86,500 1,816,497
Ross Stores, Inc. 19,907 2,248,496
Target Corp. 22,253 2,460,514
TJX Cos., Inc. (The) 8,074 717,617
Vista Outdoor, Inc. 1,839 60,908
WalMart de Mexico (Walmex) SAB de CV (Mexico) 385,640 1,455,596
Walmart, Inc. 127,985 20,468,641
105,022,564
Semiconductor (1.0%)
AIXTRON SE (Germany) 29,594 1,088,467
Applied Materials, Inc. 19,738 2,732,726
ASML Holding NV (Netherlands) 7,490 4,398,421
Axcelis Technologies, Inc. 3,890 634,265
Disco Corp. (Japan) 13,500 2,479,126
KLA Corp. 2,228 1,021,894
Lam Research Corp. 999 626,143
MaxLinear, Inc. Class A 15,124 336,509
Renesas Electronics Corp. (Japan) 79,800 1,224,333
Taiwan Semiconductor Manufacturing Co., Ltd. (Taiwan) 454,350 7,373,234
21,915,118
Software (6.2%)
Adobe, Inc. 28,385 14,473,512
Atlassian Corp. Class A 3,433 691,784
Autodesk, Inc. 3,410 705,563
Cadence Design Systems, Inc. 62,750 14,702,325
Domo, Inc. Class B 26,098 256,021
F5 Networks, Inc. 4,314 695,158


Dynamic Asset Allocation Growth Fund 43



COMMON STOCKS (78.6%)* cont. Shares Value
Software cont.
HubSpot, Inc. 6,081 $2,994,893
Intapp, Inc. 13,555 454,364
Intuit, Inc. 4,627 2,364,119
Manhattan Associates, Inc. 3,445 680,939
Microsoft Corp. 246,329 77,778,383
Nexon Co., Ltd. (Japan) 84,100 1,493,007
Oracle Corp. 117,397 12,434,691
PROS Holdings, Inc. 8,991 311,268
ROBLOX Corp. Class A 25,449 737,003
Sapiens International Corp. NV (Israel) 4,873 138,539
Square Enix Holdings Co., Ltd. (Japan) 29,300 1,003,874
Squarespace, Inc. Class A 16,913 489,970
Tata Consultancy Services, Ltd. (India) 45,824 1,943,812
Totvs SA (Brazil) 94,955 510,049
Workday, Inc. Class A 2,684 576,657
135,435,931
Technology services (5.3%)
Accenture PLC Class A 4,845 1,487,948
Alibaba Group Holding, Ltd. (China) 164,656 1,785,101
Alphabet, Inc. Class A 227,150 29,724,849
Alphabet, Inc. Class C 144,572 19,061,818
Capgemini SE (France) 8,294 1,440,159
CSG Systems International, Inc. 6,965 356,051
DocuSign, Inc. 39,647 1,665,174
eBay, Inc. 129,656 5,716,533
Fidelity National Information Services, Inc. 56,638 3,130,382
Fiserv, Inc. 5,696 643,420
GoDaddy, Inc. Class A 23,604 1,758,026
HealthStream, Inc. 4,744 102,376
Integral Ad Science Holding Corp. 12,394 147,365
Leidos Holdings, Inc. 27,750 2,557,440
Meituan Class B (China) 107,541 1,561,209
Meta Platforms, Inc. Class A 98,588 29,597,103
Palo Alto Networks, Inc. 17,342 4,065,658
Q2 Holdings, Inc. 3,280 105,846
Salesforce, Inc. 23,693 4,804,466
Tencent Holdings, Ltd. (China) 115,911 4,492,137
Unisys Corp. 23,640 81,558
Western Union Co. (The) 59,132 779,360
115,063,979
Textiles (0.3%)
Asics Corp. (Japan) 50,900 1,777,167
Hermes International (France) 1,383 2,514,149
PRADA SpA (Italy) 312,900 1,830,450
Shenzhou International Group Holdings, Ltd. (China) 126,400 1,206,750
7,328,516
Tire and rubber (—%)
Goodyear Tire & Rubber Co. (The) 8,426 104,735
104,735


44 Dynamic Asset Allocation Growth Fund



COMMON STOCKS (78.6%)* cont. Shares Value
Toys (0.3%)
Bandai Namco Holdings, Inc. (Japan) 89,800 $1,826,400
Nintendo Co., Ltd. (Japan) 111,700 4,653,450
6,479,850
Transportation (1.4%)
A.P. Moeller-Maersck A/S Class B (Denmark) 146 263,108
ArcBest Corp. 3,361 341,646
Ardmore Shipping Corp. (Ireland) 9,464 123,127
Arlo Technologies, Inc. 25,422 261,847
Canadian National Railway Co. (Canada) 14,570 1,577,840
Canadian Pacific Kansas City, Ltd. (Canada) 37,089 2,759,792
Copa Holdings SA Class A (Panama) 11,505 1,025,326
CSX Corp. 142,615 4,385,411
Daseke, Inc. 12,863 65,987
Delta Air Lines, Inc. 17,672 653,864
Deutsche Lufthansa AG (Germany) 55,365 439,859
Deutsche Post AG (Germany) 30,709 1,251,591
Dorian LPG, Ltd. 7,233 207,804
FedEx Corp. 20,779 5,504,772
Grupo Aeroportuario del Centro Norte SAB de CV (Mexico) 39,726 431,851
Hub Group, Inc. Class A 4,455 349,896
International Container Terminal Services, Inc. (Philippines) 308,410 1,126,887
Kongsberg Gruppen ASA (Norway) 6,473 266,560
Kuehne + Nagel International AG (Switzerland) 1,477 418,805
Matson, Inc. 6,619 587,238
Nippon Yusen (Japan) 43,300 1,122,048
Norfolk Southern Corp. 3,328 655,383
Qantas Airways, Ltd. (voting rights) (Australia) 319,397 1,063,125
Safe Bulkers, Inc. (Monaco) 27,857 90,257
Scorpio Tankers, Inc. 7,094 383,927
SITC International Holdings Co., Ltd. (Hong Kong) 57,000 95,690
Southwest Airlines Co. 100,570 2,722,430
Teekay Corp. (Bermuda) 23,122 142,663
Teekay Tankers, Ltd. Class A (Canada) 13,445 559,715
Union Pacific Corp. 2,989 608,650
Westinghouse Air Brake Technologies Corp. 6,455 685,973
30,173,072
Utilities and power (2.0%)
AES Corp. (The) 38,904 591,341
ALLETE, Inc. 7,203 380,318
Ameren Corp. 47,220 3,533,473
American Electric Power Co., Inc. 9,023 678,710
Black Hills Corp. 1,817 91,922
Centrica PLC (United Kingdom) 927,649 1,741,551
Chesapeake Utilities Corp. 2,582 252,391
China Resources Gas Group, Ltd. (China) 280,000 814,296
Constellation Energy Corp. 42,190 4,602,085
Dominion Energy, Inc. 14,861 663,841
DTE Energy Co. 7,199 714,717
Duke Energy Corp. 7,750 684,015


Dynamic Asset Allocation Growth Fund 45




COMMON STOCKS (78.6%)* cont. Shares Value
Utilities and power cont.
E.ON SE (Germany) 196,496 $2,327,602
Edison International 9,429 596,761
Enel SpA (Italy) 253,941 1,558,241
Eversource Energy 10,959 637,266
Exelon Corp. 96,238 3,636,834
National Fuel Gas co. 19,296 1,001,655
New Jersey Resources Corp. 3,346 135,948
NextEra Energy, Inc. 10,214 585,160
Northwest Natural Holding Co. 5,771 220,221
NRG Energy, Inc. 135,939 5,236,370
Otter Tail Corp. 1,335 101,353
PG&E Corp. 41,016 661,588
Pinnacle West Capital Corp. 4,529 333,697
PNM Resources, Inc. 11,858 528,985
Portland General Electric Co. 4,501 182,200
PPL Corp. 12,541 295,466
Public Service Enterprise Group, Inc. 11,177 636,083
RWE AG (Germany) 30,106 1,118,790
Sempra 4,662 317,156
SJW Group 2,918 175,401
Southern Co. (The) 9,574 619,629
Texas Competitive Electric Holdings Co., LLC/TCEH Finance, Inc. (Rights) 11,872 13,653
Tokyo Gas Co., Ltd. (Japan) 96,700 2,197,476
Unitil Corp. 2,145 91,613
Vistra Corp. 130,512 4,330,388
Xcel Energy, Inc. 11,556 661,234
42,949,430
Total common stocks (cost $1,276,806,251) $1,721,146,975

CORPORATE BONDS AND NOTES (9.2%)* Principal
amount
Value
Basic materials (0.8%)
ArcelorMittal SA sr. unsec. unsub. notes 7.00%, 10/15/39 (France)   $465,000 $465,146
Arsenal AIC Parent, LLC 144A sr. notes 8.00%, 10/1/30   65,000 64,676
ATI, Inc. sr. unsec. notes 7.25%, 8/15/30   265,000 263,013
ATI, Inc. sr. unsec. notes 4.875%, 10/1/29   85,000 74,777
ATI, Inc. sr. unsec. sub. notes 5.875%, 12/1/27   355,000 336,363
Avient Corp. 144A sr. unsec. unsub. notes 7.125%, 8/1/30   240,000 235,773
Axalta Coating Systems, LLC 144A company guaranty sr. unsec. notes 3.375%, 2/15/29   440,000 366,340
Beacon Roofing Supply, Inc. 144A company guaranty sr. notes 6.50%, 8/1/30   70,000 67,838
Beacon Roofing Supply, Inc. 144A company guaranty sr. notes 4.50%, 11/15/26   55,000 51,354
Beacon Roofing Supply, Inc. 144A sr. unsec. unsub. notes 4.125%, 5/15/29   260,000 222,300
Big River Steel, LLC/BRS Finance Corp. 144A sr. notes 6.625%, 1/31/29   263,000 259,855
Boise Cascade Co. 144A company guaranty sr. unsec. notes 4.875%, 7/1/30   315,000 274,883


46 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Basic materials cont.
Builders FirstSource, Inc. 144A company guaranty sr. unsec. bonds 6.375%, 6/15/32   $125,000 $117,664
Builders FirstSource, Inc. 144A company guaranty sr. unsec. bonds 4.25%, 2/1/32   145,000 118,910
Cabot Corp. sr. unsec. bonds 5.00%, 6/30/32   175,000 159,971
Celanese US Holdings, LLC company guaranty sr. unsec. bonds 6.379%, 7/15/32 (Germany)   143,000 137,784
Celanese US Holdings, LLC company guaranty sr. unsec. notes 6.33%, 7/15/29 (Germany)   570,000 558,721
Celanese US Holdings, LLC company guaranty sr. unsec. notes 6.165%, 7/15/27 (Germany)   804,000 792,800
Celanese US Holdings, LLC company guaranty sr. unsec. notes 1.40%, 8/5/26 (Germany)   170,000 148,029
Cemex SAB de CV sr. unsec. sub. FRB Ser. REGS, 9.125%, 3/14/53 (Mexico)   200,000 208,250
CF Industries, Inc. company guaranty sr. unsec. bonds 4.95%, 6/1/43   814,000 660,102
CF Industries, Inc. 144A company guaranty sr. notes 4.50%, 12/1/26   280,000 267,912
Commercial Metals Co. sr. unsec. notes 4.375%, 3/15/32   95,000 79,681
Commercial Metals Co. sr. unsec. notes 4.125%, 1/15/30   115,000 100,114
Compass Minerals International, Inc. 144A company guaranty sr. unsec. notes 6.75%, 12/1/27   305,000 288,963
Constellium NV 144A company guaranty sr. unsec. notes 5.875%, 2/15/26 (France)   250,000 244,165
Constellium SE sr. unsec. notes Ser. REGS, 3.125%, 7/15/29 (France) EUR 100,000 89,396
CP Atlas Buyer, Inc. 144A sr. unsec. notes 7.00%, 12/1/28   $150,000 117,621
First Quantum Minerals, Ltd. 144A company guaranty sr. unsec. notes 8.625%, 6/1/31 (Canada)   445,000 442,775
First Quantum Minerals, Ltd. 144A company guaranty sr. unsec. notes 6.875%, 3/1/26 (Canada)   200,000 194,137
FMC Corp. sr. unsec. unsub. notes 5.65%, 5/18/33   170,000 153,770
Freeport-McMoRan, Inc. company guaranty sr. unsec. unsub. notes 5.45%, 3/15/43 (Indonesia)   280,000 238,727
Glencore Funding, LLC 144A company guaranty sr. unsec. notes 4.00%, 3/27/27   210,000 197,117
Glencore Funding, LLC 144A company guaranty sr. unsec. notes 2.50%, 9/1/30   328,000 259,264
Graphic Packaging International, LLC company guaranty sr. unsec. unsub. notes Ser. REGS, 2.625%, 2/1/29 EUR 180,000 165,297
Graphic Packaging International, LLC 144A company guaranty sr. unsec. notes 3.75%, 2/1/30   $150,000 125,415
Graphic Packaging International, LLC 144A company guaranty sr. unsec. notes 3.50%, 3/1/29   150,000 126,621
Herens Holdco SARL 144A company guaranty sr. notes 4.75%, 5/15/28 (Luxembourg)   305,000 236,822
HudBay Minerals, Inc. 144A company guaranty sr. unsec. notes 6.125%, 4/1/29 (Canada)   235,000 217,435
Huntsman International, LLC sr. unsec. bonds 2.95%, 6/15/31   130,000 100,837
Huntsman International, LLC sr. unsec. notes 4.50%, 5/1/29   286,000 258,632


Dynamic Asset Allocation Growth Fund 47



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Basic materials cont.
Ingevity Corp. 144A company guaranty sr. unsec. notes 3.875%, 11/1/28   $225,000 $185,063
Intelligent Packaging Holdco Issuer LP 144A sr. unsec. notes 9.00%, 1/15/26 (Canada) ‡‡   180,000 148,950
Intelligent Packaging, Ltd., Finco, Inc./Intelligent Packaging, Ltd. Co-Issuer, LLC 144A sr. notes 6.00%, 9/15/28 (Canada)   245,000 214,139
International Flavors & Fragrances, Inc. sr. unsec. notes 4.45%, 9/26/28   251,000 230,504
International Flavors & Fragrances, Inc. 144A company guaranty sr. unsec. bonds 3.468%, 12/1/50   47,000 27,337
International Flavors & Fragrances, Inc. 144A sr. unsec. notes 2.30%, 11/1/30   83,000 62,438
Kleopatra Holdings 2 SCA company guaranty sr. unsec. notes Ser. REGS, 6.50%, 9/1/26 (Luxembourg) EUR 170,000 109,890
Louisiana-Pacific Corp. 144A sr. unsec. notes 3.625%, 3/15/29   $235,000 196,758
LSF11 A5 HoldCo, LLC 144A sr. unsec. notes 6.625%, 10/15/29   335,000 278,519
Mauser Packaging Solutions Holding Co. 144A company guaranty notes 9.25%, 4/15/27   230,000 201,040
Mauser Packaging Solutions Holding Co. 144A sr. notes 7.875%, 8/15/26   320,000 308,715
Mercer International, Inc. sr. unsec. notes 5.125%, 2/1/29 (Canada)   190,000 149,817
Mercer International, Inc. 144A sr. unsec. notes 12.875%, 10/1/28 (Canada)   75,000 75,821
Minsur SA sr. unsec. notes Ser. REGS, 4.50%, 10/28/31 (Peru)   410,000 344,400
Novelis Corp. 144A company guaranty sr. unsec. bonds 3.875%, 8/15/31   200,000 159,717
Novelis Corp. 144A company guaranty sr. unsec. notes 4.75%, 1/30/30   255,000 220,690
Nutrien, Ltd. sr. unsec. bonds 5.25%, 1/15/45 (Canada)   67,000 56,742
Nutrien, Ltd. sr. unsec. bonds 4.125%, 3/15/35 (Canada)   330,000 274,750
Nutrien, Ltd. sr. unsec. sub. bonds 4.20%, 4/1/29 (Canada)   129,000 119,477
Olympus Water US Holding Corp. sr. notes Ser. REGS, 3.875%, 10/1/28 EUR 125,000 110,196
Olympus Water US Holding Corp. 144A sr. notes 9.75%, 11/15/28   $215,000 214,535
Olympus Water US Holding Corp. 144A sr. unsec. notes 6.25%, 10/1/29   260,000 200,907
Pactiv Evergreen Group Issuer, LLC/Pactiv Evergreen Group Issuer, Inc. 144A sr. notes 4.375%, 10/15/28   170,000 147,502
PMHC II, Inc. 144A sr. unsec. notes 9.00%, 2/15/30   295,000 234,773
SCIH Salt Holdings, Inc. 144A sr. notes 4.875%, 5/1/28   520,000 458,696
SCIH Salt Holdings, Inc. 144A sr. unsec. notes 6.625%, 5/1/29   380,000 325,625
SCIL IV, LLC/SCIL USA Holdings, LLC 144A sr. notes 5.375%, 11/1/26   200,000 182,750
Sherwin-Williams Co. (The) sr. unsec. unsub. bonds 3.45%, 6/1/27   255,000 237,420
TMS International Holding Corp. 144A sr. unsec. notes 6.25%, 4/15/29   390,000 322,532
Trinseo Materials Operating SCA/Trinseo Materials Finance, Inc. 144A company guaranty sr. unsec. notes 5.125%, 4/1/29 (Luxembourg)   275,000 143,466
Tronox, Inc. 144A company guaranty sr. unsec. notes 4.625%, 3/15/29   335,000 270,347
Westlake Corp. sr. unsec. bonds 3.125%, 8/15/51   403,000 232,173


48 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Basic materials cont.
Westlake Corp. sr. unsec. bonds 2.875%, 8/15/41   $202,000 $124,709
Westlake Corp. sr. unsec. unsub. notes 3.60%, 8/15/26   638,000 602,681
WestRock MWV, LLC company guaranty sr. unsec. unsub. notes 8.20%, 1/15/30   305,000 335,735
WestRock MWV, LLC company guaranty sr. unsec. unsub. notes 7.95%, 2/15/31   106,000 116,045
Weyerhaeuser Co. sr. unsec. unsub. notes 7.375%, 3/15/32 R   30,000 32,596
WR Grace Holdings, LLC 144A company guaranty sr. notes 4.875%, 6/15/27   155,000 142,203
WR Grace Holdings, LLC 144A sr. notes 7.375%, 3/1/31   290,000 284,925
WR Grace Holdings, LLC 144A sr. unsec. notes 5.625%, 8/15/29   310,000 250,713
17,824,546
Capital goods (0.7%)
Allison Transmission, Inc. 144A company guaranty sr. unsec. notes 4.75%, 10/1/27   175,000 161,499
Amsted Industries, Inc. 144A company guaranty sr. unsec. sub. notes 5.625%, 7/1/27   170,000 160,227
Amsted Industries, Inc. 144A sr. unsec. bonds 4.625%, 5/15/30   165,000 139,712
ARD Finance SA 144A sr. notes Ser. REGS, 6.50%, 6/30/27 (Ireland) ‡‡   200,000 150,888
Ardagh Metal Packaging Finance USA, LLC/Ardagh Metal Packaging Finance PLC sr. unsec. notes Ser. REGS, 3.00%, 9/1/29 EUR 210,000 168,180
Ardagh Metal Packaging Finance USA, LLC/Ardagh Metal Packaging Finance PLC 144A sr. unsec. notes 4.00%, 9/1/29   $260,000 203,468
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. 144A company guaranty sr. sub. notes 4.125%, 8/15/26 (Ireland)   240,000 219,364
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. 144A sr. unsec. notes 5.25%, 8/15/27 (Ireland)   265,000 221,141
Benteler International AG 144A company guaranty sr. notes 10.50%, 5/15/28 (Austria)   380,000 382,850
Berry Global Escrow Corp. 144A sr. notes 4.875%, 7/15/26   24,000 22,972
Berry Global, Inc. 144A company guaranty sr. notes 1.65%, 1/15/27   180,000 154,713
Berry Global, Inc. 144A company guaranty sr. notes 1.57%, 1/15/26   450,000 406,770
Boeing Co. (The) sr. unsec. notes 2.196%, 2/4/26   785,000 720,774
Boeing Co. (The) sr. unsec. unsub. bonds 3.375%, 6/15/46   140,000 89,209
Boeing Co. (The) sr. unsec. unsub. notes 6.125%, 2/15/33   70,000 70,476
Bombardier, Inc. 144A sr. unsec. notes 7.875%, 4/15/27 (Canada)   5,000 4,879
Bombardier, Inc. 144A sr. unsec. notes 7.50%, 2/1/29 (Canada)   45,000 42,703
Bombardier, Inc. 144A sr. unsec. notes 7.125%, 6/15/26 (Canada)   335,000 324,568
Chart Industries, Inc. 144A company guaranty sr. notes 7.50%, 1/1/30   325,000 326,781
Chart Industries, Inc. 144A company guaranty sr. unsec. notes 9.50%, 1/1/31   210,000 223,189
Clarios Global LP 144A company guaranty sr. notes 6.75%, 5/15/25   144,000 142,916
Clarios Global LP 144A sr. notes 6.75%, 5/15/28   200,000 195,250
Clarios Global LP/Clarios US Finance Co. company guaranty sr. notes Ser. REGS, 4.375%, 5/15/26 EUR 185,000 187,619
Clean Harbors, Inc. 144A company guaranty sr. unsec. unsub. notes 6.375%, 2/1/31   $150,000 145,856


Dynamic Asset Allocation Growth Fund 49



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Capital goods cont.
Covanta Holding Corp. 144A company guaranty sr. unsec. notes 4.875%, 12/1/29   $380,000 $311,752
Crown Cork & Seal Co., Inc. company guaranty sr. unsec. bonds 7.375%, 12/15/26   165,000 167,475
DP World Salaam jr. unsec. sub. FRN 6.00%, 1/1/26 (United Arab Emirates)   430,000 423,013
Emerald Debt Merger Sub, LLC 144A sr. notes 6.625%, 12/15/30   385,000 371,525
GFL Environmental, Inc. 144A company guaranty sr. notes 3.50%, 9/1/28 (Canada)   165,000 142,050
GFL Environmental, Inc. 144A company guaranty sr. unsec. notes 4.75%, 6/15/29 (Canada)   290,000 257,783
GFL Environmental, Inc. 144A company guaranty sr. unsec. notes 4.00%, 8/1/28 (Canada)   50,000 43,688
Great Lakes Dredge & Dock Corp. 144A company guaranty sr. unsec. notes 5.25%, 6/1/29   630,000 516,724
Honeywell International, Inc. sr. unsec. bonds 3.812%, 11/21/47   155,000 117,686
Howmet Aerospace, Inc. sr. unsec. unsub. bonds 5.95%, 2/1/37   165,000 154,924
Howmet Aerospace, Inc. sr. unsec. unsub. notes 3.00%, 1/15/29   570,000 482,481
Johnson Controls International PLC sr. unsec. bonds 4.95%, 7/2/64   250,000 200,405
Johnson Controls International PLC sr. unsec. notes 3.90%, 2/14/26   202,000 193,534
L3Harris Technologies, Inc. sr. unsec. bonds 1.80%, 1/15/31   55,000 42,010
L3Harris Technologies, Inc. sr. unsec. notes 3.85%, 12/15/26   225,000 213,071
L3Harris Technologies, Inc. sr. unsec. sub. notes 4.40%, 6/15/28   220,000 208,176
Madison IAQ, LLC 144A sr. notes 4.125%, 6/30/28   60,000 51,778
Madison IAQ, LLC 144A sr. unsec. notes 5.875%, 6/30/29   440,000 354,306
MajorDrive Holdings IV, LLC 144A sr. unsec. notes 6.375%, 6/1/29   525,000 432,061
Northrop Grumman Corp. sr. unsec. unsub. notes 3.25%, 1/15/28   535,000 490,639
Oshkosh Corp. sr. unsec. sub. notes 4.60%, 5/15/28   146,000 139,511
Otis Worldwide Corp. sr. unsec. notes 2.565%, 2/15/30   145,000 120,215
Owens-Brockway Glass Container, Inc. 144A company guaranty sr. unsec. notes 7.25%, 5/15/31   350,000 342,125
Panther BF Aggregator 2 LP/Panther Finance Co., Inc. 144A company guaranty sr. unsec. notes 8.50%, 5/15/27   30,000 29,914
Ritchie Bros Holdings, Inc. 144A company guaranty sr. notes 6.75%, 3/15/28   95,000 94,763
Ritchie Bros Holdings, Inc. 144A company guaranty sr. unsec. unsub. notes 7.75%, 3/15/31   190,000 192,613
Roller Bearing Co. of America, Inc. 144A sr. notes 4.375%, 10/15/29   410,000 352,667
RTX Corp. sr. unsec. bonds 4.875%, 10/15/40   65,000 56,190
RTX Corp. sr. unsec. notes 5.15%, 2/27/33   60,000 56,818
RTX Corp. sr. unsec. unsub. notes 4.125%, 11/16/28   445,000 414,943
Sensata Technologies BV 144A company guaranty sr. unsec. notes 4.00%, 4/15/29   260,000 223,885
Sensata Technologies BV 144A company guaranty sr. unsec. unsub. notes 5.875%, 9/1/30   260,000 242,222
Spirit AeroSystems, Inc. company guaranty sr. unsec. unsub. notes 4.60%, 6/15/28   260,000 202,595
Spirit AeroSystems, Inc. 144A company guaranty notes 7.50%, 4/15/25   50,000 49,044


50 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Capital goods cont.
Staples, Inc. 144A sr. notes 7.50%, 4/15/26   $200,000 $164,469
Terex Corp. 144A company guaranty sr. unsec. notes 5.00%, 5/15/29   280,000 250,747
TransDigm, Inc. company guaranty sr. unsec. sub. notes 5.50%, 11/15/27   230,000 215,360
TransDigm, Inc. company guaranty sr. unsec. sub. notes 4.875%, 5/1/29   240,000 210,862
TransDigm, Inc. company guaranty sr. unsec. sub. notes 4.625%, 1/15/29   235,000 205,242
TransDigm, Inc. 144A company guaranty sr. notes 6.25%, 3/15/26   235,000 230,906
TransDigm, Inc. 144A sr. notes 6.875%, 12/15/30   225,000 220,622
TransDigm, Inc. 144A sr. notes 6.75%, 8/15/28   310,000 306,125
Vertical Midco GMBH company guaranty sr. notes Ser. REGS, 4.375%, 7/15/27 (Germany) EUR 110,000 105,028
Vertiv Group Corp. 144A company guaranty sr. notes 4.125%, 11/15/28   $305,000 268,098
Waste Connections, Inc. sr. unsec. bonds 3.20%, 6/1/32   56,000 46,460
Waste Connections, Inc. sr. unsec. sub. bonds 3.50%, 5/1/29   265,000 240,586
Waste Management, Inc. company guaranty sr. unsec. notes 4.875%, 2/15/29   403,000 394,054
Waste Pro USA, Inc. 144A sr. unsec. notes 5.50%, 2/15/26   105,000 98,047
WESCO Distribution, Inc. 144A company guaranty sr. unsec. unsub. notes 7.25%, 6/15/28   495,000 497,402
16,012,598
Communication services (0.8%)
Altice France SA 144A company guaranty sr. notes 5.50%, 10/15/29 (France)   275,000 197,757
Altice France SA 144A company guaranty sr. notes 5.50%, 1/15/28 (France)   200,000 154,044
Altice France SA 144A company guaranty sr. notes 5.125%, 7/15/29 (France)   200,000 142,181
American Tower Corp. sr. unsec. bonds 2.70%, 4/15/31 R   397,000 314,848
American Tower Corp. sr. unsec. notes 2.90%, 1/15/30 R   154,000 127,946
American Tower Corp. sr. unsec. sub. notes 2.75%, 1/15/27 R   505,000 456,205
American Tower Corp. sr. unsec. unsub. notes 3.55%, 7/15/27 R   476,000 437,209
AT&T, Inc. company guaranty sr. unsec. unsub. notes 2.30%, 6/1/27   147,000 130,161
AT&T, Inc. sr. unsec. bonds 3.55%, 9/15/55   1,018,000 623,177
AT&T, Inc. sr. unsec. unsub. bonds 2.55%, 12/1/33   476,000 349,616
AT&T, Inc. sr. unsec. unsub. notes 4.75%, 5/15/46   547,000 432,099
AT&T, Inc. sr. unsec. unsub. notes 4.25%, 3/1/27   130,000 123,907
CCO Holdings, LLC/CCO Holdings Capital Corp. sr. unsec. bonds 4.50%, 5/1/32   160,000 125,576
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A sr. unsec. bonds 5.375%, 6/1/29   110,000 98,693
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A sr. unsec. bonds 4.75%, 3/1/30   1,740,000 1,460,645
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A sr. unsec. notes 4.25%, 2/1/31   180,000 143,287
CCO Holdings, LLC/CCO Holdings Capital Corp. 144A sr. unsec. unsub. notes 4.75%, 2/1/32   425,000 340,000


Dynamic Asset Allocation Growth Fund 51



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Communication services cont.
Charter Communications Operating, LLC/Charter Communications Operating Capital Corp. company guaranty sr. notes 2.25%, 1/15/29   $510,000 $415,945
Charter Communications Operating, LLC/Charter Communications Operating Capital Corp. company guaranty sr. sub. bonds 6.484%, 10/23/45   380,000 331,794
Charter Communications Operating, LLC/Charter Communications Operating Capital Corp. company guaranty sr. sub. bonds 4.80%, 3/1/50   220,000 153,839
Charter Communications Operating, LLC/Charter Communications Operating Capital Corp. company guaranty sr. sub. notes 4.908%, 7/23/25   180,000 175,887
Charter Communications Operating, LLC/Charter Communications Operating Capital Corp. sr. bonds 3.70%, 4/1/51   205,000 119,288
Comcast Corp. company guaranty sr. unsec. bonds 2.987%, 11/1/63   107,000 59,175
Comcast Corp. company guaranty sr. unsec. notes 3.45%, 2/1/50   224,000 151,452
Comcast Corp. company guaranty sr. unsec. unsub. bonds 3.999%, 11/1/49   130,000 96,466
Comcast Corp. company guaranty sr. unsec. unsub. bonds 2.35%, 1/15/27   157,000 142,198
Cox Communications, Inc. 144A sr. unsec. bonds 3.50%, 8/15/27   290,000 265,033
Crown Castle, Inc. sr. unsec. bonds 3.80%, 2/15/28 R   250,000 229,224
Crown Castle, Inc. sr. unsec. bonds 3.65%, 9/1/27 R   319,000 292,841
Crown Castle, Inc. sr. unsec. sub. notes 1.05%, 7/15/26 R   228,000 200,065
Crown Castle, Inc. sr. unsec. unsub. bonds 3.70%, 6/15/26 R   112,000 105,912
CSC Holdings, LLC 144A sr. unsec. bonds 5.75%, 1/15/30   340,000 190,501
Deutsche Telekom International Finance BV company guaranty sr. unsec. unsub. bonds 8.75%, 6/15/30 (Netherlands)   195,000 223,361
DIRECTV Holdings, LLC/DIRECTV Financing Co., Inc. 144A sr. notes 5.875%, 8/15/27   285,000 251,991
DISH DBS Corp. company guaranty sr. unsec. notes 7.75%, 7/1/26   310,000 232,500
DISH DBS Corp. company guaranty sr. unsec. unsub. notes 5.875%, 11/15/24   15,000 13,962
DISH DBS Corp. company guaranty sr. unsec. unsub. notes 5.125%, 6/1/29   430,000 238,383
DISH DBS Corp. 144A company guaranty sr. notes 5.75%, 12/1/28   210,000 161,438
DISH DBS Corp. 144A company guaranty sr. notes 5.25%, 12/1/26   115,000 97,733
Embarq Corp. sr. unsec. unsub. bonds 7.995%, 6/1/36   550,000 310,063
Equinix, Inc. sr. unsec. sub. notes 3.20%, 11/18/29 R   142,000 121,600
Equinix, Inc. sr. unsec. sub. notes 2.90%, 11/18/26 R   820,000 752,718
Frontier Communications Corp. 144A company guaranty sr. notes 5.875%, 10/15/27   370,000 336,503
Frontier Communications Holdings, LLC 144A company guaranty sr. notes 8.75%, 5/15/30   200,000 189,895
Level 3 Financing, Inc. 144A company guaranty sr. notes 10.50%, 5/15/30   148,000 148,975
Level 3 Financing, Inc. 144A company guaranty sr. unsec. notes 4.25%, 7/1/28   545,000 339,553
Rogers Communications, Inc. company guaranty sr. unsec. bonds 8.75%, 5/1/32 (Canada)   166,000 187,004


52 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Communication services cont.
Sprint Capital Corp. company guaranty sr. unsec. unsub. notes 6.875%, 11/15/28   $271,000 $279,806
T-Mobile USA, Inc. company guaranty sr. bonds 2.25%, 11/15/31   600,000 457,219
T-Mobile USA, Inc. company guaranty sr. notes 3.875%, 4/15/30   108,000 95,685
T-Mobile USA, Inc. company guaranty sr. notes 3.75%, 4/15/27   862,000 805,469
T-Mobile USA, Inc. company guaranty sr. unsec. bonds 5.75%, 1/15/54   30,000 27,646
T-Mobile USA, Inc. company guaranty sr. unsec. bonds 5.05%, 7/15/33   125,000 115,655
T-Mobile USA, Inc. company guaranty sr. unsec. bonds 2.875%, 2/15/31   160,000 129,720
T-Mobile USA, Inc. company guaranty sr. unsec. notes 5.375%, 4/15/27   6,000 5,906
T-Mobile USA, Inc. company guaranty sr. unsec. notes 4.95%, 3/15/28   365,000 353,648
TCI Communications, Inc. sr. unsec. unsub. notes 7.125%, 2/15/28   205,000 217,254
Telefonica Emisiones SA company guaranty sr. unsec. bonds 4.895%, 3/6/48 (Spain)   520,000 393,871
Verizon Communications, Inc. sr. unsec. bonds 3.70%, 3/22/61   487,000 309,905
Verizon Communications, Inc. sr. unsec. notes 2.55%, 3/21/31   164,000 130,583
Verizon Communications, Inc. sr. unsec. unsub. notes 4.40%, 11/1/34   335,000 290,484
Verizon Communications, Inc. sr. unsec. unsub. notes 4.329%, 9/21/28   1,264,000 1,187,696
Verizon Communications, Inc. sr. unsec. unsub. notes 2.10%, 3/22/28   216,000 185,531
Viasat, Inc. 144A sr. unsec. notes 7.50%, 5/30/31   255,000 168,300
VZ Secured Financing BV 144A sr. notes 5.00%, 1/15/32 (Netherlands)   580,000 454,575
17,801,603
Consumer cyclicals (1.5%)
ADT Security Corp. 144A sr. notes 4.125%, 8/1/29   390,000 329,749
Alimentation Couche-Tard, Inc. 144A company guaranty sr. unsec. notes 3.55%, 7/26/27 (Canada)   240,000 221,700
Alimentation Couche-Tard, Inc. 144A sr. unsec. notes 2.95%, 1/25/30 (Canada)   148,000 123,313
Allied Universal Holdco LLC/Allied Universal Finance Corp. 144A sr. unsec. notes 6.00%, 6/1/29   390,000 290,740
Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL sr. notes Ser. REGS, 3.625%, 6/1/28 EUR 150,000 130,242
Amazon.com, Inc. sr. unsec. notes 3.15%, 8/22/27   $710,000 660,413
Amazon.com, Inc. sr. unsec. unsub. notes 2.10%, 5/12/31   53,000 42,489
American Builders & Contractors Supply Co., Inc. 144A sr. notes 4.00%, 1/15/28   320,000 283,640
American Builders & Contractors Supply Co., Inc. 144A sr. unsec. notes 3.875%, 11/15/29   265,000 220,831
Anywhere Real Estate Group, LLC/Anywhere Co-Issuer Corp. 144A company guaranty notes 7.00%, 4/15/30   163,200 147,288
Asbury Automotive Group, Inc. 144A company guaranty sr. unsec. bonds 5.00%, 2/15/32   25,000 20,713


Dynamic Asset Allocation Growth Fund 53



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Consumer cyclicals cont.
Asbury Automotive Group, Inc. 144A company guaranty sr. unsec. notes 4.625%, 11/15/29   $90,000 $77,299
Autonation, Inc. sr. unsec. bonds 2.40%, 8/1/31   155,000 114,270
Banijay Entertainment SASU 144A sr. notes 8.125%, 5/1/29 (France)   275,000 272,940
Bath & Body Works, Inc. company guaranty sr. unsec. bonds 6.75%, perpetual maturity   120,000 105,138
Bath & Body Works, Inc. company guaranty sr. unsec. notes 7.50%, perpetual maturity   250,000 246,955
Bath & Body Works, Inc. 144A company guaranty sr. unsec. unsub. bonds 6.625%, 10/1/30   385,000 360,941
BCPE Ulysses Intermediate, Inc. 144A sr. unsec. notes 7.75%, 4/1/27 ‡‡   110,000 95,797
Beasley Mezzanine Holdings, LLC 144A company guaranty sr. notes 8.625%, 2/1/26   200,000 128,335
Block, Inc. sr. unsec. notes 3.50%, 6/1/31   665,000 522,398
BMW Finance NV 144A company guaranty sr. unsec. notes 2.85%, 8/14/29 (Netherlands)   321,000 282,743
Booking Holdings, Inc. sr. unsec. sub. notes 4.625%, 4/13/30   280,000 265,804
Boyd Gaming Corp. 144A sr. unsec. bonds 4.75%, 6/15/31   480,000 408,469
Caesars Entertainment, Inc. 144A sr. notes 7.00%, 2/15/30   405,000 394,090
Caesars Entertainment, Inc. 144A sr. unsec. notes 4.625%, 10/15/29   500,000 423,530
Caesars Resort Collection, LLC/CRC Finco, Inc. 144A company guaranty sr. notes 5.75%, 7/1/25   130,000 129,451
Camelot Return Merger Sub, Inc. 144A sr. notes 8.75%, 8/1/28   340,000 327,981
Carnival Corp. 144A company guaranty sr. notes 7.00%, 8/15/29   80,000 78,882
Carnival Corp. 144A company guaranty sr. unsec. unsub. notes 10.50%, 6/1/30   160,000 164,779
Carnival Corp. 144A notes 9.875%, 8/1/27   190,000 198,346
Carnival Corp. 144A sr. unsec. notes 5.75%, 3/1/27   505,000 457,138
Carnival Holdings Bermuda, Ltd. 144A company guaranty sr. unsec. unsub. notes 10.375%, 5/1/28 (Bermuda)   50,000 53,613
Carriage Services, Inc. 144A company guaranty sr. unsec. notes 4.25%, 5/15/29   215,000 183,907
CDI Escrow Issuer, Inc. 144A sr. unsec. notes 5.75%, 4/1/30   355,000 319,944
Cinemark USA, Inc. 144A company guaranty sr. notes 8.75%, 5/1/25   27,000 27,168
Cinemark USA, Inc. 144A company guaranty sr. unsec. notes 5.25%, 7/15/28   225,000 199,724
Clear Channel Outdoor Holdings, Inc. 144A company guaranty sr. unsec. sub. notes 7.75%, 4/15/28   250,000 199,603
D.R. Horton, Inc. company guaranty sr. unsec. unsub. notes 1.30%, 10/15/26   590,000 517,347
Ecolab, Inc. sr. unsec. unsub. bonds 2.70%, 11/1/26   750,000 695,230
Everi Holdings, Inc. 144A company guaranty sr. unsec. notes 5.00%, 7/15/29   495,000 426,039
Full House Resorts, Inc. 144A company guaranty sr. notes 8.25%, 2/15/28   430,000 376,250
Garda World Security Corp. 144A sr. notes 7.75%, 2/15/28 (Canada)   75,000 73,688
Garda World Security Corp. 144A sr. notes 4.625%, 2/15/27 (Canada)   90,000 82,355


54 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Consumer cyclicals cont.
Garda World Security Corp. 144A sr. unsec. notes 6.00%, 6/1/29 (Canada)   $55,000 $44,984
Gartner, Inc. 144A company guaranty sr. unsec. bonds 3.75%, 10/1/30   315,000 264,349
Global Payments, Inc. sr. unsec. notes 2.15%, 1/15/27   42,000 37,028
Gray Escrow II, Inc. 144A sr. unsec. bonds 5.375%, 11/15/31   725,000 474,467
GTCR W-2 Merger Sub, LLC 144A sr. notes 7.50%, 1/15/31   275,000 275,385
GW B-CR Security Corp. 144A sr. unsec. notes 9.50%, 11/1/27 (Canada)   158,000 151,066
Hanesbrands, Inc. 144A company guaranty sr. unsec. unsub. notes 9.00%, perpetual maturity   140,000 132,825
Hilton Domestic Operating Co., Inc. company guaranty sr. unsec. bonds 4.875%, 1/15/30   490,000 445,938
Hyatt Hotels Corp. sr. unsec. notes 5.75%, 1/30/27   184,000 182,820
Hyatt Hotels Corp. sr. unsec. unsub. notes 4.85%, 3/15/26   337,000 329,343
iHeartCommunications, Inc. company guaranty sr. unsec. notes 8.375%, 5/1/27   453,499 325,324
IHO Verwaltungs GmbH sr. unsub. notes Ser. REGS, 8.75%, 5/15/28 (Germany) ‡‡ EUR 235,000 256,904
Interpublic Group of Cos., Inc. (The) sr. unsec. sub. bonds 4.65%, 10/1/28   $698,000 658,064
Interpublic Group of Cos., Inc. (The) sr. unsec. unsub. notes 2.40%, 3/1/31   32,000 25,112
JELD-WEN, Inc. 144A company guaranty sr. unsec. notes 4.875%, 12/15/27   175,000 154,417
Kontoor Brands, Inc. 144A company guaranty sr. unsec. notes 4.125%, 11/15/29   290,000 240,700
Las Vegas Sands Corp. sr. unsec. unsub. notes 3.90%, 8/8/29   310,000 264,564
LBM Acquisition, LLC 144A company guaranty sr. unsec. notes 6.25%, 1/15/29   175,000 143,500
Lennar Corp. company guaranty sr. unsec. unsub. notes 4.75%, 11/29/27   379,000 365,105
Levi Strauss & Co. 144A sr. unsec. sub. bonds 3.50%, 3/1/31   565,000 446,810
Light & Wonder International, Inc. 144A company guaranty sr. unsec. notes 7.50%, 9/1/31   55,000 54,359
Light & Wonder International, Inc. 144A company guaranty sr. unsec. notes 7.25%, 11/15/29   415,000 406,700
Live Nation Entertainment, Inc. 144A company guaranty sr. unsec. sub. notes 5.625%, 3/15/26   285,000 273,639
Live Nation Entertainment, Inc. 144A sr. notes 6.50%, 5/15/27   120,000 118,319
Macy’s Retail Holdings, LLC 144A company guaranty sr. unsec. unsub. bonds 6.125%, 3/15/32   70,000 57,770
Macy’s Retail Holdings, LLC 144A company guaranty sr. unsec. unsub. notes 5.875%, 3/15/30   35,000 29,671
Masonite International Corp. 144A company guaranty sr. unsec. notes 5.375%, 2/1/28   90,000 83,711
Masonite International Corp. 144A company guaranty sr. unsec. notes 3.50%, 2/15/30   340,000 276,259
Mattamy Group Corp. 144A sr. unsec. notes 4.625%, 3/1/30 (Canada)   255,000 217,025
Mattel, Inc. 144A company guaranty sr. unsec. notes 3.75%, 4/1/29   250,000 217,609


Dynamic Asset Allocation Growth Fund 55



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Consumer cyclicals cont.
Mattel, Inc. 144A company guaranty sr. unsec. notes 3.375%, 4/1/26   $140,000 $129,458
McGraw-Hill Education, Inc. 144A sr. notes 5.75%, 8/1/28   330,000 284,708
McGraw-Hill Education, Inc. 144A sr. unsec. notes 8.00%, 8/1/29   420,000 364,350
Michaels Cos., Inc. (The) 144A sr. unsec. notes 7.875%, 5/1/29   120,000 78,342
MIWD Holdco II, LLC/MIWD Finance Corp. 144A company guaranty sr. unsec. notes 5.50%, 2/1/30   105,000 86,756
Moody’s Corp. sr. unsec. notes 2.00%, 8/19/31   520,000 403,474
NCL Corp., Ltd. 144A company guaranty sr. notes 5.875%, 2/15/27   125,000 118,125
NCL Corp., Ltd. 144A sr. unsec. unsub. notes 7.75%, 2/15/29   170,000 157,675
Neptune Bidco US, Inc. 144A sr. notes 9.29%, 4/15/29   495,000 448,129
Netflix, Inc. sr. unsec. bonds Ser. REGS, 3.875%, 11/15/29 EUR 515,000 527,109
Netflix, Inc. sr. unsec. unsub. notes 5.875%, 11/15/28   $155,000 155,877
Netflix, Inc. sr. unsec. unsub. notes 4.375%, 11/15/26   150,000 144,621
Netflix, Inc. 144A sr. unsec. bonds 5.375%, 11/15/29   427,000 416,637
News Corp. 144A company guaranty sr. unsec. unsub. bonds 5.125%, 2/15/32   116,000 101,355
News Corp. 144A sr. unsec. notes 3.875%, 5/15/29   255,000 219,300
Omnicom Group, Inc. company guaranty sr. unsec. unsub. notes 3.60%, 4/15/26   390,000 370,439
Outfront Media Capital, LLC/Outfront Media Capital Corp. 144A company guaranty sr. unsec. notes 5.00%, 8/15/27   180,000 158,595
Outfront Media Capital, LLC/Outfront Media Capital Corp. 144A sr. unsec. notes 4.25%, 1/15/29   15,000 11,903
Paramount Global sr. unsec. unsub. notes 4.20%, 6/1/29   115,000 99,111
Paramount Global sr. unsec. unsub. notes 4.00%, 1/15/26   57,000 53,968
Paramount Global sr. unsec. unsub. notes 2.90%, 1/15/27   121,000 107,260
Penn Entertainment, Inc. 144A sr. unsec. notes 5.625%, 1/15/27   410,000 385,613
Prime Security Services Borrower, LLC/Prime Finance, Inc. 144A company guaranty sr. notes 3.375%, 8/31/27   120,000 105,132
Prime Security Services Borrower, LLC/Prime Finance, Inc. 144A notes 6.25%, 1/15/28   225,000 208,388
PulteGroup, Inc. company guaranty sr. unsec. unsub. notes 5.50%, 3/1/26   80,000 79,450
Raptor Acquisition Corp./Raptor Co-Issuer, LLC 144A sr. notes 4.875%, 11/1/26   70,000 65,538
Realogy Group, LLC/Realogy Co-Issuer Corp. 144A company guaranty sr. unsec. notes 5.75%, 1/15/29   11,000 7,952
Royal Caribbean Cruises, Ltd. 144A company guaranty sr. unsec. notes 7.25%, 1/15/30   170,000 168,486
Royal Caribbean Cruises, Ltd. 144A company guaranty sr. unsec. unsub. notes 9.25%, 1/15/29   360,000 380,317
Royal Caribbean Cruises, Ltd. 144A sr. unsec. notes 5.50%, 8/31/26   185,000 174,622
Royal Caribbean Cruises, Ltd. 144A sr. unsec. notes 4.25%, 7/1/26   65,000 59,598
S&P Global, Inc. company guaranty sr. unsec. bonds 2.50%, 12/1/29   20,000 16,992
S&P Global, Inc. company guaranty sr. unsec. notes 2.45%, 3/1/27   120,000 109,304
S&P Global, Inc. company guaranty sr. unsec. notes 1.25%, 8/15/30   87,000 66,408
Sabre GLBL, Inc. 144A company guaranty sr. sub. notes 8.625%, 6/1/27   115,000 97,498


56 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Consumer cyclicals cont.
Scientific Games Holdings LP/Scientific Games US FinCo., Inc. 144A sr. unsec. notes 6.625%, 3/1/30   $390,000 $336,375
Scripps Escrow II, Inc. 144A sr. notes 3.875%, 1/15/29   130,000 97,765
Scripps Escrow, Inc. 144A company guaranty sr. unsec. notes 5.875%, 7/15/27   115,000 85,033
Shift4 Payments, LLC/Shift4 Payments Finance Sub, Inc. 144A company guaranty sr. unsec. notes 4.625%, 11/1/26   200,000 188,572
Sirius XM Radio, Inc. 144A company guaranty sr. unsec. bonds 3.875%, 9/1/31   320,000 242,388
Sirius XM Radio, Inc. 144A company guaranty sr. unsec. notes 4.00%, 7/15/28   225,000 192,053
Spanish Broadcasting System, Inc. 144A sr. notes 9.75%, 3/1/26   145,000 96,993
Spectrum Brands, Inc. 144A company guaranty sr. unsec. bonds 5.00%, 10/1/29   375,000 339,788
Standard Industries, Inc. sr. unsec. notes Ser. REGS, 2.25%, 11/21/26 EUR 200,000 186,203
Standard Industries, Inc. 144A sr. unsec. bonds 3.375%, 1/15/31   $90,000 69,568
Standard Industries, Inc. 144A sr. unsec. notes 5.00%, 2/15/27   120,000 111,234
Standard Industries, Inc. 144A sr. unsec. notes 4.75%, 1/15/28   20,000 18,040
Standard Industries, Inc. 144A sr. unsec. notes 4.375%, 7/15/30   380,000 314,716
Station Casinos, LLC 144A sr. unsec. bonds 4.625%, 12/1/31   210,000 167,975
Station Casinos, LLC 144A sr. unsec. notes 4.50%, 2/15/28   330,000 287,869
Stellantis Finance US, Inc. 144A company guaranty sr. unsec. notes 2.691%, 9/15/31   215,000 165,255
Stellantis Finance US, Inc. 144A company guaranty sr. unsec. notes 1.711%, 1/29/27   200,000 173,943
SugarHouse HSP Gaming Prop. Mezz LP/SugarHouse HSP Gaming Finance Corp. 144A company guaranty sr. unsub. notes 5.875%, 5/15/25   300,000 289,500
Taylor Morrison Communities, Inc. 144A sr. unsec. bonds 5.125%, 8/1/30   210,000 183,488
Taylor Morrison Communities, Inc. 144A sr. unsec. notes 5.75%, 1/15/28   135,000 125,753
Townsquare Media, Inc. 144A sr. notes 6.875%, 2/1/26   195,000 184,157
TRI Pointe Group, Inc./TRI Pointe Homes, Inc. company guaranty sr. unsec. unsub. notes 5.875%, 6/15/24   145,000 143,971
Univision Communications, Inc. 144A company guaranty sr. notes 6.625%, 6/1/27   410,000 381,844
Univision Communications, Inc. 144A sr. notes 8.00%, 8/15/28   155,000 150,273
Univision Communications, Inc. 144A sr. notes 7.375%, 6/30/30   120,000 109,668
Urban One, Inc. 144A company guaranty sr. notes 7.375%, 2/1/28   230,000 197,225
Victoria’s Secret & Co. 144A sr. unsec. notes 4.625%, 7/15/29   395,000 286,375
Walt Disney Co. (The) company guaranty sr. unsec. bonds 7.75%, 12/1/45   194,000 232,335
Walt Disney Co. (The) company guaranty sr. unsec. notes 2.20%, 1/13/28   78,000 69,121
Warnermedia Holdings, Inc. company guaranty sr. unsec. notes 4.279%, 3/15/32   1,192,000 1,011,792
Warnermedia Holdings, Inc. company guaranty sr. unsec. notes 3.755%, 3/15/27   450,000 415,448
White Cap Buyer, LLC 144A sr. unsec. notes 6.875%, 10/15/28   235,000 207,696


Dynamic Asset Allocation Growth Fund 57



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Consumer cyclicals cont.
Wynn Las Vegas, LLC/Wynn Las Vegas Capital Corp. 144A company guaranty sr. unsec. sub. notes 5.25%, 5/15/27   $290,000 $269,757
Wynn Resorts Finance, LLC/Wynn Resorts Capital Corp. 144A company guaranty sr. unsec. unsub. notes 7.125%, 2/15/31   240,000 227,700
Wynn Resorts Finance, LLC/Wynn Resorts Capital Corp. 144A sr. unsec. bonds 5.125%, 10/1/29   310,000 270,979
31,828,381
Consumer staples (0.5%)
1011778 BC ULC/New Red Finance, Inc. 144A bonds 4.00%, 10/15/30 (Canada)   495,000 411,332
1011778 BC ULC/New Red Finance, Inc. 144A company guaranty notes 4.375%, 1/15/28 (Canada)   335,000 301,952
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons, LLC 144A company guaranty sr. unsec. notes 4.875%, 2/15/30   285,000 256,792
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons, LLC 144A company guaranty sr. unsec. notes 4.625%, 1/15/27   425,000 401,292
Albertsons Cos., LLC/Safeway, Inc./New Albertsons LP/Albertsons, LLC 144A company guaranty sr. unsec. notes 7.50%, 3/15/26   205,000 207,838
Aramark Services, Inc. 144A company guaranty sr. unsec. notes 5.00%, 2/1/28   343,000 317,218
Ashtead Capital, Inc. 144A company guaranty sr. unsec. notes 2.45%, 8/12/31   200,000 151,744
Ashtead Capital, Inc. 144A notes 4.375%, 8/15/27   555,000 515,838
Avis Budget Finance PLC 144A sr. unsec. notes 7.25%, 7/31/30 EUR 350,000 367,251
CDW, LLC/CDW Finance Corp. company guaranty sr. unsec. notes 3.25%, 2/15/29   $295,000 251,544
Coty, Inc./HFC Prestige Products, Inc./HFC Prestige International US, LLC 144A company guaranty sr. notes 6.625%, 7/15/30   170,000 165,978
ERAC USA Finance, LLC 144A company guaranty sr. unsec. bonds 4.50%, 2/15/45   140,000 112,054
ERAC USA Finance, LLC 144A company guaranty sr. unsec. notes 7.00%, 10/15/37   190,000 205,637
ERAC USA Finance, LLC 144A company guaranty sr. unsec. notes 5.625%, 3/15/42   226,000 210,891
ERAC USA Finance, LLC 144A company guaranty sr. unsec. notes 3.85%, 11/15/24   185,000 180,679
ERAC USA Finance, LLC 144A company guaranty sr. unsec. unsub. notes 3.30%, 12/1/26   129,000 119,601
Fertitta Entertainment, LLC/Fertitta Entertainment Finance Co., Inc. 144A company guaranty sr. notes 4.625%, 1/15/29   60,000 50,850
Fertitta Entertainment, LLC/Fertitta Entertainment Finance Co., Inc. 144A company guaranty sr. unsec. notes 6.75%, 1/15/30   175,000 142,643
Herc Holdings, Inc. 144A company guaranty sr. unsec. notes 5.50%, 7/15/27   280,000 264,783
Hertz Corp. (The) 144A company guaranty sr. unsec. notes 5.00%, 12/1/29   395,000 309,254
IRB Holding Corp. 144A company guaranty sr. notes 7.00%, 6/15/25   120,000 120,031
JDE Peet’s NV 144A company guaranty sr. unsec. notes 1.375%, 1/15/27 (Netherlands)   355,000 306,511


58 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Consumer staples cont.
Kenvue, Inc. 144A company guaranty sr. unsec. notes 4.90%, 3/22/33   $263,000 $251,349
Kenvue, Inc. 144A company guaranty sr. unsec. unsub. bonds 5.05%, 3/22/53   47,000 42,691
Kenvue, Inc. 144A company guaranty sr. unsec. unsub. notes 5.05%, 3/22/28   785,000 774,606
Keurig Dr Pepper, Inc. company guaranty sr. unsec. notes 2.25%, 3/15/31   420,000 330,475
Keurig Dr Pepper, Inc. company guaranty sr. unsec. unsub. notes 3.43%, 6/15/27   126,000 117,066
Kraft Heinz Foods Co. company guaranty sr. unsec. notes 3.00%, 6/1/26   135,000 126,552
Lamb Weston Holdings, Inc. 144A company guaranty sr. unsec. notes 4.125%, 1/31/30   290,000 247,993
Match Group Holdings II, LLC 144A sr. unsec. bonds 5.00%, 12/15/27   113,000 104,222
Match Group Holdings II, LLC 144A sr. unsec. bonds 3.625%, 10/1/31   240,000 189,389
Match Group Holdings II, LLC 144A sr. unsec. notes 4.125%, 8/1/30   50,000 41,258
Match Group Holdings II, LLC 144A sr. unsec. unsub. notes 4.625%, 6/1/28   715,000 641,008
McDonald’s Corp. sr. unsec. unsub. bonds Ser. MTN, 6.30%, 10/15/37   350,000 364,577
Nestle Holdings, Inc. 144A company guaranty sr. unsec. notes 0.375%, 1/15/24   985,000 970,049
Newell Brands, Inc. sr. unsec. unsub. notes 5.20%, 4/1/26   145,000 136,647
PECF USS Intermediate Holding III Corp. 144A sr. unsec. notes 8.00%, 11/15/29   455,000 246,838
TripAdvisor, Inc. 144A company guaranty sr. unsec. notes 7.00%, 7/15/25   305,000 304,421
US Foods, Inc. 144A company guaranty sr. unsec. notes 7.25%, 1/15/32   70,000 69,929
US Foods, Inc. 144A company guaranty sr. unsec. notes 4.75%, 2/15/29   175,000 156,409
Yum! Brands, Inc. sr. unsec. bonds 5.375%, 4/1/32   95,000 86,861
10,574,053
Energy (0.8%)
Antero Midstream Partners LP/Antero Midstream Finance Corp. 144A company guaranty sr. unsec. notes 7.875%, 5/15/26   150,000 151,068
Antero Resources Corp. 144A company guaranty sr. unsec. notes 7.625%, 2/1/29   109,000 110,467
Apache Corp. sr. unsec. unsub. notes 5.10%, 9/1/40   305,000 242,286
Apache Corp. sr. unsec. unsub. notes 4.375%, 10/15/28   300,000 271,317
Callon Petroleum Co. 144A company guaranty sr. unsec. notes 8.00%, 8/1/28   265,000 265,378
Callon Petroleum Co. 144A company guaranty sr. unsec. notes 7.50%, 6/15/30   490,000 475,093
Cenovus Energy, Inc. sr. unsec. bonds 6.75%, 11/15/39 (Canada)   25,000 25,049
Centennial Resource Production, LLC 144A company guaranty sr. unsec. notes 6.875%, 4/1/27   440,000 433,718


Dynamic Asset Allocation Growth Fund 59



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Energy cont.
Cheniere Energy Partners LP company guaranty sr. unsec. notes 4.50%, 10/1/29   $1,010,000 $914,528
Cheniere Energy Partners LP company guaranty sr. unsec. unsub. notes 3.25%, 1/31/32   25,000 19,870
Chord Energy Corp. 144A company guaranty sr. unsec. notes 6.375%, 6/1/26   250,000 245,130
Civitas Resources, Inc. 144A company guaranty sr. unsec. notes 8.375%, 7/1/28   155,000 157,713
Civitas Resources, Inc. 144A company guaranty sr. unsec. unsub. notes 8.75%, 7/1/31   305,000 311,548
Columbia Pipelines Operating Co., LLC 144A sr. unsec. notes 5.927%, 8/15/30   150,000 147,911
Comstock Resources, Inc. 144A company guaranty sr. unsec. notes 5.875%, 1/15/30   265,000 229,392
Comstock Resources, Inc. 144A sr. unsec. notes 6.75%, 3/1/29   205,000 188,578
Continental Resources, Inc. 144A company guaranty sr. unsec. bonds 5.75%, 1/15/31   195,000 183,194
DCP Midstream Operating LP 144A company guaranty sr. unsec. unsub. bonds 6.75%, 9/15/37   305,000 309,850
Devon Energy Corp. sr. unsec. unsub. bonds 7.95%, 4/15/32   170,000 188,047
Devon Energy Corp. sr. unsec. unsub. bonds 7.875%, 9/30/31   120,000 131,646
Diamondback Energy, Inc. company guaranty sr. unsec. notes 3.25%, 12/1/26   170,000 158,943
Encino Acquisition Partners Holdings, LLC 144A company guaranty sr. unsec. notes 8.50%, 5/1/28   435,000 417,674
Endeavor Energy Resources LP/EER Finance, Inc. 144A sr. unsec. bonds 5.75%, 1/30/28   640,000 617,577
Energy Transfer LP/Regency Energy Finance Corp. sr. unsec. unsub. notes 4.50%, 11/1/23   72,000 71,910
EnLink Midstream, LLC 144A company guaranty sr. unsec. notes 5.625%, 1/15/28   570,000 538,927
EQT Corp. sr. unsec. notes 7.00%, 2/1/30   195,000 200,604
EQT Corp. sr. unsec. notes 5.00%, 1/15/29   10,000 9,400
Hess Midstream Operations LP 144A company guaranty sr. unsec. notes 5.50%, 10/15/30   145,000 131,769
Hess Midstream Operations LP 144A company guaranty sr. unsec. notes 5.125%, 6/15/28   210,000 193,161
Hess Midstream Operations LP 144A company guaranty sr. unsec. notes 4.25%, 2/15/30   120,000 101,189
Hess Midstream Operations LP 144A company guaranty sr. unsec. sub. notes 5.625%, 2/15/26   295,000 285,044
KazMunayGas National Co. JSC sr. unsec. notes Ser. REGS, 4.75%, 4/19/27 (Kazakhstan)   260,000 243,750
Kinetik Holdings LP 144A company guaranty sr. unsec. notes 5.875%, 6/15/30   305,000 285,938
Nabors Industries, Inc. company guaranty sr. unsec. notes 5.75%, 2/1/25   265,000 259,369
Nabors Industries, Inc. 144A company guaranty sr. unsec. notes 7.375%, 5/15/27   225,000 217,660
Occidental Petroleum Corp. sr. unsec. sub. bonds 6.20%, 3/15/40   800,000 762,564
Occidental Petroleum Corp. sr. unsec. sub. notes 8.50%, 7/15/27   138,000 147,773


60 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Energy cont.
Occidental Petroleum Corp. sr. unsec. sub. notes 7.50%, 5/1/31   $235,000 $249,392
Ovintiv, Inc. company guaranty sr. unsec. bonds 6.25%, 7/15/33   130,000 125,699
Ovintiv, Inc. company guaranty sr. unsec. notes 5.65%, 5/15/28   485,000 474,398
Ovintiv, Inc. company guaranty sr. unsec. unsub. bonds 7.375%, 11/1/31   205,000 214,802
Ovintiv, Inc. company guaranty sr. unsec. unsub. bonds 6.625%, 8/15/37   70,000 67,154
Patterson-UTI Energy, Inc. sr. unsec. sub. notes 5.15%, 11/15/29   475,000 432,999
Permian Resources Operating, LLC 144A company guaranty sr. unsec. notes 5.375%, 1/15/26   335,000 320,726
Petrobras Global Finance BV company guaranty sr. unsec. unsub. bonds 6.50%, 7/3/33 (Brazil)   159,000 151,686
Petrobras Global Finance BV company guaranty sr. unsec. unsub. notes 6.25%, 3/17/24 (Brazil)   141,000 140,460
Petroleos Mexicanos company guaranty sr. unsec. unsub. FRB 5.95%, 1/28/31 (Mexico)   190,000 135,993
Petroleos Mexicanos company guaranty sr. unsec. unsub. notes 6.70%, 2/16/32 (Mexico)   116,000 86,092
Petroleos Mexicanos company guaranty sr. unsec. unsub. notes 6.49%, 1/23/27 (Mexico)   350,000 310,571
Petroleos Mexicanos 144A sr. unsec. bonds 10.00%, 2/7/33 (Mexico)   80,000 71,000
Precision Drilling Corp. 144A company guaranty sr. unsec. notes 7.125%, 1/15/26 (Canada)   530,000 524,816
Rockcliff Energy II, LLC 144A sr. unsec. notes 5.50%, 10/15/29   560,000 503,981
Seadrill Finance, Ltd. 144A company guaranty notes 8.375%, 8/1/30 (Bermuda)   280,000 285,074
SM Energy Co. sr. unsec. notes 6.625%, 1/15/27   90,000 88,200
SM Energy Co. sr. unsec. unsub. notes 6.75%, 9/15/26   240,000 235,589
SM Energy Co. sr. unsec. unsub. notes 6.50%, 7/15/28   275,000 264,000
Southwestern Energy Co. company guaranty sr. unsec. notes 5.375%, 3/15/30   80,000 72,884
Southwestern Energy Co. company guaranty sr. unsec. notes 5.375%, 2/1/29   655,000 603,247
Spectra Energy Partners LP sr. unsec. notes 3.375%, 10/15/26   190,000 176,746
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp. 144A company guaranty sr. unsec. notes 6.00%, 12/31/30   205,000 180,913
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp. 144A company guaranty sr. unsec. notes 5.50%, 1/15/28   210,000 191,363
Targa Resources Partners LP/Targa Resources Partners Finance Corp. company guaranty sr. unsec. unsub. notes 4.875%, 2/1/31   240,000 214,956
Transocean Aquila, Ltd. 144A company guaranty sr. notes 8.00%, 9/30/28   75,000 75,000
Transocean Poseidon, Ltd. 144A company guaranty sr. notes 6.875%, 2/1/27   195,000 191,989
Transocean Titan Financing, Ltd. 144A company guaranty sr. notes 8.375%, 2/1/28 (Cayman Islands)   160,000 162,800
Transocean, Inc. 144A company guaranty sr. notes 8.75%, 2/15/30   109,250 111,708
Transocean, Inc. 144A company guaranty sr. unsec. notes 11.50%, 1/30/27   270,000 283,163


Dynamic Asset Allocation Growth Fund 61



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Energy cont.
USA Compression Partners LP/USA Compression Finance Corp. company guaranty sr. unsec. notes 6.875%, 4/1/26   $405,000 $396,715
USA Compression Partners LP/USA Compression Finance Corp. company guaranty sr. unsec. unsub. notes 6.875%, 9/1/27   115,000 111,487
Venture Global Calcasieu Pass, LLC 144A company guaranty sr. notes 3.875%, 8/15/29   240,000 201,955
Venture Global LNG, Inc. 144A sr. notes 8.375%, 6/1/31   355,000 348,987
Venture Global LNG, Inc. 144A sr. notes 8.125%, 6/1/28   135,000 133,669
Viper Energy Partners LP 144A company guaranty sr. unsec. notes 5.375%, 11/1/27   70,000 66,306
17,851,555
Financials (2.0%)
ABN AMRO Bank NV 144A unsec. sub. notes 4.75%, 7/28/25 (Netherlands)   200,000 193,732
AerCap Ireland Capital DAC/AerCap Global Aviation Trust company guaranty sr. unsec. bonds 3.30%, 1/30/32 (Ireland)   600,000 476,947
AerCap Ireland Capital DAC/AerCap Global Aviation Trust company guaranty sr. unsec. sub. notes 3.65%, 7/21/27 (Ireland)   600,000 544,639
AG Issuer, LLC 144A sr. notes 6.25%, 3/1/28   210,000 196,116
Air Lease Corp. sr. unsec. notes 2.10%, 9/1/28   195,000 161,894
Air Lease Corp. sr. unsec. sub. bonds 4.625%, 10/1/28   434,000 402,110
Air Lease Corp. sr. unsec. sub. notes 3.25%, 10/1/29   519,000 441,546
Aircastle, Ltd. 144A sr. unsec. notes 6.50%, 7/18/28   275,000 269,687
Alliant Holdings Intermediate, LLC/Alliant Holdings Co-Issuer 144A sr. unsec. notes 6.75%, 10/15/27   385,000 358,055
Ally Financial, Inc. company guaranty sr. unsec. notes 8.00%, 11/1/31   562,000 567,414
Ally Financial, Inc. sr. unsec. notes 4.75%, 6/9/27   250,000 230,454
Ally Financial, Inc. sr. unsec. notes 2.20%, 11/2/28   200,000 158,024
AmWINS Group, Inc. 144A sr. unsec. notes 4.875%, 6/30/29   95,000 83,242
ANZ New Zealand Int’l, Ltd./London 144A company guaranty sr. unsec. notes 3.45%, 7/17/27 (United Kingdom)   200,000 184,442
Ares Capital Corp. sr. unsec. notes 2.875%, 6/15/27   255,000 222,480
Ares Capital Corp. sr. unsec. notes 2.15%, 7/15/26   240,000 210,566
Ares Capital Corp. sr. unsec. sub. notes 3.875%, 1/15/26   217,000 203,050
Aretec Escrow Issuer, Inc. 144A sr. unsec. notes 7.50%, 4/1/29   285,000 252,318
Athene Global Funding 144A notes 1.985%, 8/19/28   440,000 358,798
Australia and New Zealand Banking Group, Ltd./United Kingdom 144A jr. unsec. sub. FRB 6.75%, perpetual maturity (United Kingdom)   200,000 193,391
Banco Santander SA sr. unsec. unsub. FRN 1.722%, 9/14/27 (Spain)   200,000 174,881
Banco Santander SA sr. unsec. unsub. notes 4.379%, 4/12/28 (Spain)   200,000 184,641
Banco Santander SA unsec. sub. FRB 3.225%, 11/22/32 (Spain)   800,000 605,455
Banco Santander SA unsec. sub. notes 5.179%, 11/19/25 (Spain)   800,000 778,189
Bank of America Corp. jr. unsec. sub. FRN Ser. AA, 6.10%, perpetual maturity   297,000 290,833
Bank of America Corp. jr. unsec. sub. FRN Ser. Z, 6.50%, perpetual maturity   35,000 34,776
Bank of America Corp. sr. unsec. FRN 1.734%, 7/22/27   1,055,000 934,898


62 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Financials cont.
Bank of America Corp. sr. unsec. FRN Ser. MTN, 2.496%, 2/13/31   $190,000 $152,273
Bank of America Corp. unsec. sub. FRB 3.846%, 3/8/37   1,350,000 1,098,028
Bank of America Corp. unsec. sub. notes 6.11%, 1/29/37   1,030,000 1,015,722
Bank of America Corp. unsec. sub. notes Ser. L, 4.183%, 11/25/27   270,000 250,992
Berkshire Hathaway Finance Corp. company guaranty sr. unsec. bonds 2.85%, 10/15/50   375,000 233,314
Berkshire Hathaway Finance Corp. company guaranty sr. unsec. notes 4.30%, 5/15/43   90,000 76,205
Blackstone Holdings Finance Co., LLC 144A company guaranty sr. unsec. unsub. bonds 1.60%, 3/30/31   120,000 87,043
BNP Paribas SA 144A unsec. sub. FRB 2.588%, 8/12/35 (France)   200,000 150,004
BNP Paribas SA 144A unsec. sub. notes 4.375%, 5/12/26 (France)   200,000 191,439
BPCE SA 144A sr. unsec. unsub. FRN 5.975%, 1/18/27 (France)   535,000 529,217
BPCE SA 144A unsec. sub. notes 4.50%, 3/15/25 (France)   327,000 315,383
Capital One Financial Corp. unsec. sub. FRB 2.359%, 7/29/32   926,000 634,548
Citigroup, Inc. jr. unsec. sub. FRN 3.875%, perpetual maturity   278,000 237,229
Citigroup, Inc. sr. unsec. FRB 3.668%, 7/24/28   1,422,000 1,304,420
Citigroup, Inc. sr. unsec. FRN 5.61%, 9/29/26   15,000 14,847
Citigroup, Inc. sr. unsec. unsub. FRB 3.887%, 1/10/28   323,000 301,097
Citigroup, Inc. unsec. sub. bonds 4.75%, 5/18/46   240,000 187,794
Citigroup, Inc. unsec. sub. bonds 4.45%, 9/29/27   430,000 403,705
Citizens Bank NA sr. unsec. FRN 4.119%, 5/23/25   340,000 328,711
CNO Financial Group, Inc. sr. unsec. notes 5.25%, 5/30/29   210,000 197,787
Cobra AcquisitionCo, LLC 144A company guaranty sr. unsec. notes 6.375%, 11/1/29   250,000 185,000
Commonwealth Bank of Australia 144A sr. unsec. notes 3.15%, 9/19/27 (Australia)   580,000 532,795
Commonwealth Bank of Australia 144A sr. unsec. notes 2.552%, 3/14/27 (Australia)   182,000 164,964
Corebridge Financial, Inc. sr. unsec. notes 3.85%, 4/5/29   230,000 206,605
Deutsche Bank AG unsec. sub. notes 4.50%, 4/1/25 (Germany)   400,000 384,820
Deutsche Bank AG/New York, NY sr. unsec. unsub. FRN 7.146%, 7/13/27 (Germany)   175,000 176,185
Deutsche Bank AG/New York, NY sr. unsec. unsub. notes 1.686%, 3/19/26 (Germany)   835,000 756,241
Dresdner Funding Trust I 144A jr. unsec. sub. notes 8.151%, 6/30/31   100,000 106,000
Fairfax Financial Holdings, Ltd. sr. unsec. notes 4.85%, 4/17/28 (Canada)   468,000 443,487
Fairfax US, Inc. 144A company guaranty sr. unsec. notes 4.875%, 8/13/24   364,000 358,515
First-Citizens Bank & Trust Co. unsec. sub. notes 6.125%, 3/9/28   649,000 644,619
Five Corners Funding Trust 144A sr. unsec. bonds 4.419%, 11/15/23   230,000 229,548
Ford Motor Co. sr. unsec. unsub. notes 3.625%, 6/17/31   200,000 161,611
Ford Motor Co., LLC sr. unsec. unsub. notes 7.35%, 3/6/30   200,000 202,536
Ford Motor Credit Co., LLC sr. unsec. unsub. notes 4.271%, 1/9/27   240,000 221,659
Freedom Mortgage Corp. 144A sr. unsec. notes 12.25%, 10/1/30   75,000 76,406
Freedom Mortgage Corp. 144A sr. unsec. notes 12.00%, 10/1/28   55,000 55,894
Freedom Mortgage Corp. 144A sr. unsec. notes 7.625%, 5/1/26   220,000 205,055


Dynamic Asset Allocation Growth Fund 63



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Financials cont.
Freedom Mortgage Corp. 144A sr. unsec. sub. notes 6.625%, 1/15/27   $125,000 $109,856
General Motors Financial Co., Inc. company guaranty sr. unsec. notes 4.00%, 10/6/26   623,000 583,758
General Motors Financial Co., Inc. company guaranty sr. unsec. unsub. notes 4.00%, 1/15/25   55,000 53,417
General Motors Financial Co., Inc. sr. unsec. notes 6.40%, 1/9/33   100,000 97,660
General Motors Financial Co., Inc. sr. unsec. notes 3.10%, 1/12/32   191,000 147,773
General Motors Financial Co., Inc. sr. unsec. notes 1.25%, 1/8/26   137,000 122,447
GLP Capital LP/GLP Financing II, Inc. company guaranty sr. unsec. bonds 3.25%, 1/15/32 R   175,000 135,816
GLP Capital LP/GLP Financing II, Inc. company guaranty sr. unsec. unsub. notes 5.375%, 4/15/26   96,000 93,080
goeasy, Ltd. 144A company guaranty sr. unsec. notes 5.375%, 12/1/24 (Canada)   70,000 68,943
goeasy, Ltd. 144A company guaranty sr. unsec. notes 4.375%, 5/1/26 (Canada)   135,000 123,531
Goldman Sachs Group, Inc. (The) jr. unsec. sub. FRN 3.65%, 7/28/51   66,000 53,201
Goldman Sachs Group, Inc. (The) sr. unsec. FRB 4.223%, 5/1/29   1,531,000 1,416,219
Goldman Sachs Group, Inc. (The) sr. unsec. unsub. notes 2.60%, 2/7/30   114,000 93,366
Goldman Sachs Group, Inc. (The) unsec. sub. notes 6.75%, 10/1/37   122,000 123,543
HUB International, Ltd. 144A sr. notes 7.25%, 6/15/30   170,000 169,689
HUB International, Ltd. 144A sr. unsec. notes 7.00%, 5/1/26   465,000 463,978
HUB International, Ltd. 144A sr. unsec. notes 5.625%, 12/1/29   70,000 60,953
Huntington Bancshares, Inc. unsec. sub. FRB 2.487%, 8/15/36   361,000 254,221
Icahn Enterprises LP/Icahn Enterprises Finance Corp. company guaranty sr. unsec. notes 6.25%, 5/15/26   195,000 181,163
Icahn Enterprises LP/Icahn Enterprises Finance Corp. company guaranty sr. unsec. sub. notes 4.375%, 2/1/29   115,000 91,961
ING Groep NV sr. unsec. unsub. FRN 6.083%, 9/11/27 (Netherlands)   240,000 238,933
Intercontinental Exchange, Inc. sr. unsec. bonds 2.65%, 9/15/40   280,000 182,946
Intercontinental Exchange, Inc. sr. unsec. bonds 1.85%, 9/15/32   140,000 102,398
Intercontinental Exchange, Inc. sr. unsec. notes 4.00%, 9/15/27   104,000 98,295
JPMorgan Chase & Co. jr. unsec. bonds 6.10%, perpetual maturity   44,000 43,482
JPMorgan Chase & Co. jr. unsec. sub. FRB Ser. HH, 4.60%, perpetual maturity   563,000 526,681
JPMorgan Chase & Co. jr. unsec. sub. FRB Ser. W, (CME Term SOFR 3 Month + 1.26%), 6.626%, 5/15/47   116,000 99,924
JPMorgan Chase & Co. jr. unsec. sub. FRN 3.65%, perpetual maturity   44,000 38,405
JPMorgan Chase & Co. sr. unsec. unsub. FRB 3.964%, 11/15/48   743,000 542,112
JPMorgan Chase & Co. unsec. sub. bonds 3.625%, 12/1/27   1,350,000 1,243,856
JPMorgan Chase & Co. unsec. sub. FRB 2.956%, 5/13/31   700,000 575,137
JPMorgan Chase & Co. unsec. sub. notes 4.125%, 12/15/26   78,000 74,134
KKR Group Finance Co. III, LLC 144A company guaranty sr. unsec. unsub. bonds 5.125%, 6/1/44   160,000 132,450
Ladder Capital Finance Holdings, LLLP/Ladder Capital Finance Corp. 144A company guaranty sr. unsec. notes 4.75%, 6/15/29 R   205,000 165,600


64 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Financials cont.
Ladder Capital Finance Holdings, LLLP/Ladder Capital Finance Corp. 144A company guaranty sr. unsec. unsub. notes 5.25%, 10/1/25 R   $65,000 $62,582
Ladder Capital Finance Holdings, LLLP/Ladder Capital Finance Corp. 144A sr. unsec. notes 4.25%, 2/1/27 R   415,000 362,971
Lloyds Banking Group PLC unsec. sub. notes 4.65%, 3/24/26 (United Kingdom)   215,000 205,861
Marsh & McLennan Cos., Inc. sr. unsec. sub. bonds 4.90%, 3/15/49   175,000 151,629
Marsh & McLennan Cos., Inc. sr. unsec. sub. notes 4.375%, 3/15/29   212,000 201,061
Mitsubishi UFJ Financial Group, Inc. sr. unsec. unsub. notes 3.85%, 3/1/26 (Japan)   255,000 243,651
Morgan Stanley sr. unsec. unsub. FRN Ser. GMTN, 3.772%, 1/24/29   1,365,000 1,244,681
Morgan Stanley unsec. unsub. notes 3.95%, 4/23/27   470,000 436,548
Nasdaq, Inc. sr. unsec. bonds 5.95%, 8/15/53   45,000 42,034
Nasdaq, Inc. sr. unsec. notes 5.35%, 6/28/28   155,000 152,168
Nasdaq, Inc. sr. unsec. sub. bonds 5.55%, 2/15/34   40,000 38,178
Nationstar Mortgage Holdings, Inc. 144A company guaranty sr. unsec. notes 5.75%, 11/15/31   455,000 376,386
Nationstar Mortgage Holdings, Inc. 144A company guaranty sr. unsec. notes 5.50%, 8/15/28   190,000 167,592
NatWest Group PLC sr. unsec. unsub. FRN 5.847%, 3/2/27 (United Kingdom)   265,000 260,461
Neuberger Berman Group, LLC/Neuberger Berman Finance Corp. 144A sr. unsec. notes 4.875%, 4/15/45   155,000 115,327
OneMain Finance Corp. company guaranty sr. unsec. sub. notes 7.125%, 3/15/26   110,000 107,732
OneMain Finance Corp. company guaranty sr. unsec. sub. notes 6.625%, 1/15/28   120,000 110,720
OneMain Finance Corp. company guaranty sr. unsec. unsub. notes 5.375%, 11/15/29   325,000 272,188
PennyMac Financial Services, Inc. 144A company guaranty sr. unsec. notes 5.75%, 9/15/31   225,000 184,041
PennyMac Financial Services, Inc. 144A company guaranty sr. unsec. notes 5.375%, 10/15/25   225,000 213,901
PHH Mortgage Corp. 144A company guaranty sr. notes 7.875%, 3/15/26   360,000 320,400
PNC Financial Services Group, Inc. (The) unsec. sub. FRB 4.626%, 6/6/33   725,000 625,434
Prologis LP sr. unsec. unsub. notes 2.25%, 4/15/30 R   113,000 92,218
Prologis LP sr. unsec. unsub. notes 2.125%, 4/15/27 R   47,000 42,005
Royal Bank of Canada sr. unsec. notes Ser. GMTN, 5.20%, 8/1/28 (Canada)   475,000 462,322
Royal Bank of Canada unsec. sub. notes Ser. GMTN, 4.65%, 1/27/26 (Canada)   285,000 277,302
Service Properties Trust company guaranty sr. unsec. unsub. notes 7.50%, 9/15/25 R   80,000 78,595
Societe Generale SA 144A jr. unsec. sub. notes 5.375%, perpetual maturity (France)   431,000 307,335
Toronto-Dominion Bank (The) unsec. sub. FRB 3.625%, 9/15/31 (Canada)   435,000 402,468


Dynamic Asset Allocation Growth Fund 65



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Financials cont.
Truist Bank unsec. sub. FRN Ser. BKNT, 2.636%, 9/17/29   $250,000 $232,097
Truist Financial Corp. sr. unsec. unsub. FRN Ser. MTN, 4.26%, 7/28/26   310,000 298,439
UBS Group AG 144A sr. unsec. bonds 3.869%, 1/12/29 (Switzerland)   285,000 258,148
UBS Group AG 144A sr. unsec. FRN 2.193%, 6/5/26 (Switzerland)   585,000 544,085
UBS Group AG 144A sr. unsec. unsub. FRN 1.305%, 2/2/27 (Switzerland)   308,000 273,137
UBS Group Funding Switzerland AG company guaranty jr. unsec. sub. FRN Ser. REGS, 6.875%, perpetual maturity (Switzerland)   206,000 194,019
US Bancorp unsec. sub. FRB 2.491%, 11/3/36   630,000 443,832
USI, Inc./NY 144A sr. unsec. notes 6.875%, 5/1/25   245,000 243,113
VICI Properties LP sr. unsec. unsub. notes 4.75%, 2/15/28 R   411,000 384,395
VICI Properties LP/VICI Note Co., Inc. 144A company guaranty sr. unsec. notes 3.75%, 2/15/27 R   154,000 139,742
Wells Fargo & Co. sr. unsec. unsub. FRB Ser. MTN, 3.35%, 3/2/33   1,935,000 1,564,145
Wells Fargo & Co. sr. unsec. unsub. FRN Ser. MTN, 4.54%, 8/15/26   219,000 212,706
Westpac Banking Corp. sr. unsec. unsub. notes 3.35%, 3/8/27 (Australia)   94,000 87,737
Westpac Banking Corp. unsec. sub. bonds 2.963%, 11/16/40 (Australia)   170,000 103,391
42,579,981
Health care (0.8%)
1375209 BC, Ltd. 144A sr. notes 9.00%, 1/30/28 (Canada)   25,000 24,712
AbbVie, Inc. sr. unsec. sub. notes 3.80%, 3/15/25   270,000 262,454
Air Methods Corp. 144A sr. unsec. notes 8.00%, 5/15/25   265,000 1,325
Amgen, Inc. sr. unsec. bonds 4.663%, 6/15/51   230,000 186,080
Amgen, Inc. sr. unsec. unsub. bonds 5.75%, 3/2/63   135,000 124,535
Amgen, Inc. sr. unsec. unsub. bonds 5.65%, 3/2/53   51,000 47,403
Amgen, Inc. sr. unsec. unsub. notes 5.25%, 3/2/30   105,000 102,536
Amgen, Inc. sr. unsec. unsub. notes 5.15%, 3/2/28   495,000 486,001
Amgen, Inc. sr. unsec. unsub. notes 2.60%, 8/19/26   347,000 320,264
Bausch & Lomb Escrow Corp. 144A sr. notes 8.375%, 10/1/28 (Canada)   335,000 335,995
Bausch Health Cos., Inc. 144A company guaranty sr. notes 6.125%, 2/1/27   210,000 130,612
Bausch Health Cos., Inc. 144A sr. notes 4.875%, 6/1/28   420,000 238,848
Becton, Dickinson and Co. sr. unsec. notes 3.70%, 6/6/27   96,000 89,965
Becton, Dickinson and Co. sr. unsec. notes 2.823%, 5/20/30   500,000 420,951
Bristol-Myers Squibb Co. sr. unsec. notes 2.90%, 7/26/24   501,000 489,676
Centene Corp. sr. unsec. bonds 3.00%, 10/15/30   220,000 177,454
Centene Corp. sr. unsec. notes 4.625%, 12/15/29   275,000 247,673
Charles River Laboratories International, Inc. 144A company guaranty sr. unsec. notes 4.00%, 3/15/31   115,000 97,031
Charles River Laboratories International, Inc. 144A company guaranty sr. unsec. notes 3.75%, 3/15/29   105,000 90,431
CHS/Community Health Systems, Inc. 144A company guaranty sr. notes 8.00%, 3/15/26   115,000 109,603
CHS/Community Health Systems, Inc. 144A company guaranty sr. notes 6.00%, 1/15/29   25,000 20,190
CHS/Community Health Systems, Inc. 144A company guaranty sr. notes 5.625%, 3/15/27   90,000 77,194


66 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Health care cont.
CHS/Community Health Systems, Inc. 144A company guaranty sr. unsec. sub. notes 6.875%, 4/1/28   $165,000 $87,747
CHS/Community Health Systems, Inc. 144A jr. notes 6.875%, 4/15/29   195,000 103,549
CHS/Community Health Systems, Inc. 144A sr. notes 5.25%, 5/15/30   530,000 402,894
CVS Health Corp. sr. unsec. unsub. notes 4.78%, 3/25/38   736,000 633,806
CVS Pass-Through Trust sr. notes 6.036%, 12/10/28   5,443 5,378
CVS Pass-Through Trust 144A sr. mtge. notes 4.704%, 1/10/36   119,442 107,221
DH Europe Finance II SARL company guaranty sr. unsec. bonds 3.40%, 11/15/49 (Luxembourg)   155,000 107,614
Elanco Animal Health, Inc. sr. unsec. notes Ser. WI, 6.65%, 8/28/28   255,000 247,988
Eli Lilly and Co. sr. unsec. unsub. bonds 4.875%, 2/27/53   145,000 133,199
Fortrea Holdings, Inc. 144A company guaranty sr. notes 7.50%, 7/1/30   30,000 29,190
GE Healthcare Holding, LLC company guaranty sr. unsec. notes 5.65%, 11/15/27   110,000 109,820
HCA, Inc. company guaranty sr. notes 4.50%, 2/15/27   76,000 72,550
HCA, Inc. company guaranty sr. notes 4.125%, 6/15/29   118,000 106,823
HCA, Inc. company guaranty sr. unsec. notes 3.50%, 9/1/30   110,000 93,063
HCA, Inc. company guaranty sr. unsec. sub. notes 3.625%, 3/15/32   410,000 339,844
Humana, Inc. sr. unsec. unsub. bonds 5.50%, 3/15/53   45,000 40,679
Humana, Inc. sr. unsec. unsub. notes 5.75%, 3/1/28   250,000 250,890
Jazz Securities DAC 144A company guaranty sr. unsub. notes 4.375%, 1/15/29 (Ireland)   390,000 340,035
Mallinckrodt International Finance SA/Mallinckrodt CB, LLC 144A company guaranty unsub. notes 10.00%, 4/15/25 (Luxembourg) (In default)   193,000 12,545
Merck & Co., Inc. sr. unsec. notes 2.90%, 3/7/24   19,000 18,769
Merck & Co., Inc. sr. unsec. unsub. notes 3.70%, 2/10/45   395,000 302,149
Merck & Co., Inc. sr. unsec. unsub. notes 2.75%, 2/10/25   122,000 117,829
Minerva Merger Sub, Inc. 144A sr. unsec. notes 6.50%, 2/15/30   405,000 338,785
Mozart Debt Merger Sub, Inc. 144A sr. notes 3.875%, 4/1/29   640,000 541,070
Mozart Debt Merger Sub, Inc. 144A sr. unsec. notes 5.25%, 10/1/29   190,000 164,216
Novartis Capital Corp. company guaranty sr. unsec. unsub. bonds 4.00%, 11/20/45   650,000 524,510
Option Care Health, Inc. 144A company guaranty sr. unsec. notes 4.375%, 10/31/29   70,000 60,463
Organon Finance 1, LLC 144A sr. notes 4.125%, 4/30/28   495,000 430,110
Owens & Minor, Inc. 144A company guaranty sr. unsec. notes 6.625%, 4/1/30   345,000 306,217
Owens & Minor, Inc. 144A sr. unsec. notes 4.50%, 3/31/29   145,000 119,332
Pfizer Investment Enterprises PTE, Ltd. company guaranty sr. unsec. notes 5.30%, 5/19/53 (Singapore)   105,000 97,561
Pfizer Investment Enterprises PTE, Ltd. company guaranty sr. unsec. notes 4.75%, 5/19/33 (Singapore)   148,000 139,901
Pfizer Investment Enterprises PTE, Ltd. company guaranty sr. unsec. notes 4.45%, 5/19/28 (Singapore)   622,000 599,680
Roche Holdings, Inc. 144A company guaranty sr. unsec. bonds 4.00%, 11/28/44 (Switzerland)   550,000 445,830


Dynamic Asset Allocation Growth Fund 67



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Health care cont.
Service Corp. International sr. unsec. bonds 5.125%, 6/1/29   $320,000 $295,840
Service Corp. International sr. unsec. notes 4.625%, 12/15/27   142,000 131,597
Service Corp. International sr. unsec. notes 3.375%, 8/15/30   150,000 120,900
Service Corp. International sr. unsec. sub. notes 4.00%, 5/15/31   335,000 275,029
Tenet Healthcare Corp. company guaranty sr. notes 5.125%, 11/1/27   550,000 511,849
Tenet Healthcare Corp. company guaranty sr. notes 4.875%, 1/1/26   535,000 512,546
Tenet Healthcare Corp. company guaranty sr. notes 4.25%, 6/1/29   215,000 185,061
Tenet Healthcare Corp. company guaranty sr. unsub. notes 6.125%, 6/15/30   345,000 323,455
Teva Pharmaceutical Finance Netherlands II BV company guaranty sr. unsec. unsub. notes 4.375%, 5/9/30 (Israel) EUR 495,000 446,539
Teva Pharmaceutical Finance Netherlands III BV company guaranty sr. unsec. unsub. notes 8.125%, 9/15/31 (Israel)   $225,000 231,750
Teva Pharmaceutical Finance Netherlands III BV company guaranty sr. unsec. unsub. notes 7.875%, 9/15/29 (Israel)   200,000 203,500
Teva Pharmaceutical Finance Netherlands III BV company guaranty sr. unsec. unsub. notes 5.125%, 5/9/29 (Israel)   555,000 501,720
UnitedHealth Group, Inc. sr. unsec. unsub. notes 3.95%, 10/15/42   245,000 192,931
UnitedHealth Group, Inc. sr. unsec. unsub. notes 3.85%, 6/15/28   740,000 698,199
Viatris, Inc. company guaranty sr. unsec. notes 2.30%, 6/22/27   291,000 250,388
Wyeth, LLC company guaranty sr. unsec. bonds 5.95%, 4/1/37   305,000 313,369
Zoetis, Inc. sr. unsec. notes 3.90%, 8/20/28   248,000 233,016
Zoetis, Inc. sr. unsec. sub. notes 2.00%, 5/15/30   244,000 195,315
17,135,194
Technology (0.7%)
Ahead DB Holdings, LLC 144A company guaranty sr. unsec. notes 6.625%, 5/1/28   175,000 147,819
Alphabet, Inc. sr. unsec. bonds 2.25%, 8/15/60   295,000 157,562
Alphabet, Inc. sr. unsec. notes 1.998%, 8/15/26   305,000 280,636
Alteryx, Inc. 144A sr. unsec. unsub. notes 8.75%, 3/15/28   110,000 109,509
Apple, Inc. sr. unsec. bonds 2.80%, 2/8/61   240,000 140,907
Apple, Inc. sr. unsec. notes 3.00%, 11/13/27   655,000 605,289
Apple, Inc. sr. unsec. notes 2.85%, 5/11/24   275,000 270,291
Apple, Inc. sr. unsec. unsub. notes 4.375%, 5/13/45   917,000 792,603
Apple, Inc. sr. unsec. unsub. notes 3.85%, 5/4/43   314,000 254,033
Arches Buyer, Inc. 144A sr. notes 4.25%, 6/1/28   755,000 643,707
Arches Buyer, Inc. 144A sr. unsec. notes 6.125%, 12/1/28   195,000 158,340
Boxer Parent Co., Inc. 144A company guaranty sr. notes 7.125%, 10/2/25   65,000 64,675
Broadcom Corp./Broadcom Cayman Finance, Ltd. company guaranty sr. unsec. unsub. notes 3.875%, 1/15/27   494,000 464,166
Broadcom Corp./Broadcom Cayman Finance, Ltd. company guaranty sr. unsec. unsub. notes 3.50%, 1/15/28   1,147,000 1,042,815
Broadcom, Inc. 144A sr. unsec. bonds 3.187%, 11/15/36   80,000 57,439
Central Parent, Inc./CDK Global, Inc. 144A company guaranty sr. notes 7.25%, 6/15/29   190,000 184,207
Clarivate Science Holdings Corp. 144A sr. unsec. notes 4.875%, 7/1/29   455,000 387,818


68 Dynamic Asset Allocation Growth Fund



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Technology cont.
Cloud Software Group, Inc. 144A notes 9.00%, 9/30/29   $405,000 $352,350
Cloud Software Group, Inc. 144A sr. notes. 6.50%, 3/31/29   885,000 782,633
CommScope Finance, LLC 144A sr. notes 6.00%, 3/1/26   105,000 97,989
CommScope Technologies, LLC 144A company guaranty sr. unsec. notes 6.00%, 6/15/25   209,000 198,958
CommScope, Inc. 144A company guaranty sr. unsec. notes 8.25%, 3/1/27   170,000 111,099
CrowdStrike Holdings, Inc. company guaranty sr. unsec. notes 3.00%, 2/15/29   475,000 400,082
Gen Digital, Inc. 144A company guaranty sr. unsec. unsub. notes 7.125%, 9/30/30   140,000 137,918
Gen Digital, Inc. 144A company guaranty sr. unsec. unsub. notes 6.75%, 9/30/27   145,000 141,738
Google, LLC sr. unsec. notes 3.375%, 2/25/24   335,000 331,997
Imola Merger Corp. 144A sr. notes 4.75%, 5/15/29   550,000 482,021
Meta Platforms, Inc. sr. unsec. notes 4.95%, 5/15/33   265,000 253,962
Meta Platforms, Inc. sr. unsec. unsub. bonds 4.45%, 8/15/52   221,000 174,936
Meta Platforms, Inc. sr. unsec. unsub. notes 3.50%, 8/15/27   599,000 564,921
Microsoft Corp. sr. unsec. unsub. bonds 2.921%, 3/17/52   799,000 524,071
Microsoft Corp. sr. unsec. unsub. bonds 2.525%, 6/1/50   60,000 36,534
Microsoft Corp. sr. unsec. unsub. bonds 2.40%, 8/8/26   930,000 863,937
Microsoft Corp. sr. unsec. unsub. notes 3.30%, 2/6/27   70,000 66,414
MSCI, Inc. 144A company guaranty sr. unsec. notes 3.625%, 9/1/30   152,000 127,397
Oracle Corp. sr. unsec. bonds 3.95%, 3/25/51   55,000 37,705
Oracle Corp. sr. unsec. bonds 3.65%, 3/25/41   305,000 217,643
Oracle Corp. sr. unsec. notes 2.95%, 4/1/30   295,000 248,238
Oracle Corp. sr. unsec. unsub. bonds 4.00%, 11/15/47   870,000 611,434
RingCentral, Inc. 144A sr. unsec. notes 8.50%, 8/15/30   300,000 289,875
Rocket Software, Inc. 144A sr. unsec. notes 6.50%, 2/15/29   610,000 503,250
salesforce.com, Inc. sr. unsec. bonds 3.05%, 7/15/61   320,000 191,274
salesforce.com, Inc. sr. unsec. bonds 2.90%, 7/15/51   320,000 199,822
ServiceNow, Inc. sr. unsec. notes 1.40%, 9/1/30   315,000 241,811
TTM Technologies, Inc. 144A company guaranty sr. unsec. notes 4.00%, 3/1/29   335,000 280,981
Twilio, Inc. company guaranty sr. unsec. notes 3.875%, 3/15/31   440,000 357,757
Twilio, Inc. company guaranty sr. unsec. notes 3.625%, 3/15/29   355,000 297,186
ZoomInfo Technologies, LLC/ZoomInfo Finance Corp. 144A company guaranty sr. unsec. notes 3.875%, 2/1/29   585,000 487,565
15,375,314
Transportation (0.1%)
American Airlines, Inc./AAdvantage Loyalty IP, Ltd. 144A company guaranty sr. notes 5.75%, 4/20/29   235,000 218,562
American Airlines, Inc./AAdvantage Loyalty IP, Ltd. 144A company guaranty sr. notes 5.50%, 4/20/26   215,417 210,389
Canadian Pacific Railway Co. company guaranty sr. unsec. unsub. notes 1.75%, 12/2/26 (Canada)   645,000 575,456
CSX Corp. sr. unsec. unsub. notes 4.10%, 3/15/44   240,000 188,500
Penske Truck Leasing Co. LP/PTL Finance Corp. 144A sr. unsec. bonds 3.40%, 11/15/26   113,000 104,157


Dynamic Asset Allocation Growth Fund 69



CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Transportation cont.
Penske Truck Leasing Co. LP/PTL Finance Corp. 144A sr. unsec. notes 4.40%, 7/1/27   $145,000 $135,885
Penske Truck Leasing Co. LP/PTL Finance Corp. 144A sr. unsec. notes 3.90%, 2/1/24   210,000 208,365
United Airlines, Inc. 144A company guaranty sr. notes 4.625%, 4/15/29   90,000 77,358
United Airlines, Inc. 144A company guaranty sr. notes 4.375%, 4/15/26   90,000 83,231
Watco Cos., LLC/Watco Finance Corp. 144A sr. unsec. notes 6.50%, 6/15/27   580,000 550,826
2,352,729
Utilities and power (0.5%)
AES Corp. (The) sr. unsec. notes 5.45%, 6/1/28   145,000 139,970
AES Corp. (The) sr. unsec. notes 1.375%, 1/15/26   188,000 167,417
AES Corp. (The) sr. unsec. unsub. notes 2.45%, 1/15/31   230,000 176,885
American Electric Power Co., Inc. sr. unsec. unsub. notes Ser. J, 4.30%, 12/1/28   510,000 479,837
American Transmission Systems, Inc. 144A sr. unsec. bonds 2.65%, 1/15/32   95,000 75,099
Buckeye Partners LP sr. unsec. bonds 5.85%, 11/15/43   105,000 76,649
Buckeye Partners LP sr. unsec. notes 3.95%, 12/1/26   205,000 184,088
Buckeye Partners LP 144A sr. unsec. notes 4.50%, 3/1/28   175,000 153,562
Calpine Corp. 144A company guaranty sr. notes 5.25%, 6/1/26   48,000 46,602
Calpine Corp. 144A sr. notes 3.75%, 3/1/31   135,000 108,759
Calpine Corp. 144A sr. unsec. notes 5.00%, 2/1/31   270,000 218,319
Calpine Corp. 144A sr. unsec. notes 4.625%, 2/1/29   90,000 75,362
Consolidated Edison Co. of New York, Inc. sr. unsec. unsub. notes 4.20%, 3/15/42   130,000 102,233
Duke Energy Carolinas, LLC sr. notes 4.95%, 1/15/33   45,000 42,758
Duke Energy Corp. sr. unsec. bonds 4.20%, 6/15/49   350,000 254,346
Duke Energy Corp. sr. unsec. notes 3.15%, 8/15/27   445,000 405,471
Duke Energy Indiana LLC sr. bonds 6.45%, 4/1/39   80,000 82,666
Duke Energy Ohio, Inc. sr. bonds 3.65%, 2/1/29   385,000 353,123
Electricite De France SA 144A jr. unsec. sub. FRB 9.125%, perpetual maturity (France)   200,000 207,250
Enbridge, Inc. company guaranty sr. unsec. unsub. bonds 4.50%, 6/10/44 (Canada)   355,000 273,700
Enbridge, Inc. sr. unsec. unsub. bonds 4.25%, 12/1/26 (Canada)   210,000 200,346
Energy Transfer LP company guaranty sr. unsec. bonds 3.75%, 5/15/30   625,000 544,433
Energy Transfer LP company guaranty sr. unsec. notes 5.50%, 6/1/27   84,000 82,681
Energy Transfer LP company guaranty sr. unsec. notes 2.90%, 5/15/25   79,000 75,052
Energy Transfer LP jr. unsec. sub. FRN 6.625%, perpetual maturity   1,455,000 1,159,582
Enterprise Products Operating, LLC company guaranty sr. unsec. notes 2.80%, 1/31/30   151,000 128,180
Enterprise Products Operating, LLC company guaranty sr. unsec. unsub. bonds 4.25%, 2/15/48   755,000 591,059
Evergy Kansas Central, Inc. sr. bonds 5.70%, 3/15/53   110,000 103,617


70 Dynamic Asset Allocation Growth Fund




CORPORATE BONDS AND NOTES (9.2%)* cont. Principal
amount
Value
Utilities and power cont.
Evergy Missouri West, Inc. 144A sr. notes 5.15%, 12/15/27   $330,000 $321,111
Eversource Energy sr. unsec. unsub. notes 5.45%, 3/1/28   50,000 49,421
IPALCO Enterprises, Inc. sr. notes 4.25%, 5/1/30   140,000 122,784
IPALCO Enterprises, Inc. sr. sub. notes 3.70%, 9/1/24   70,000 68,368
Kinder Morgan, Inc. company guaranty sr. unsec. notes Ser. GMTN, 7.75%, 1/15/32   305,000 330,747
Kinder Morgan, Inc. company guaranty sr. unsec. unsub. notes 1.75%, 11/15/26   115,000 102,280
NextEra Energy Capital Holdings, Inc. company guaranty sr. unsec. unsub. notes 6.051%, 3/1/25   290,000 290,439
NRG Energy, Inc. 144A company guaranty sr. notes 3.75%, 6/15/24   99,000 96,943
NRG Energy, Inc. 144A company guaranty sr. unsec. bonds 3.875%, 2/15/32   595,000 446,661
NRG Energy, Inc. 144A jr. unsec. sub. FRB 10.25%, perpetual maturity   95,000 93,043
Oncor Electric Delivery Co., LLC sr. notes 5.30%, 6/1/42   45,000 42,923
Oncor Electric Delivery Co., LLC sr. notes 3.75%, 4/1/45   405,000 299,389
Pacific Gas and Electric Co. company guaranty sr. unsec. unsub. notes 2.95%, 3/1/26   110,000 101,314
Pacific Gas and Electric Co. notes 2.10%, 8/1/27   50,000 42,753
Pacific Gas and Electric Co. sr. notes 6.10%, 1/15/29   570,000 556,733
PG&E Corp. sr. sub. notes 5.25%, 7/1/30   380,000 330,243
Public Service Electric & Gas Co. sr. notes Ser. MTN, 5.50%, 3/1/40   75,000 71,643
Puget Sound Energy, Inc. sr. bonds 5.448%, 6/1/53   140,000 128,280
Vistra Corp. 144A jr. unsec. sub. FRN 8.00%, 10/15/51   135,000 128,540
Vistra Corp. 144A jr. unsec. sub. FRN 7.00%, perpetual maturity   100,000 91,250
Vistra Operations Co., LLC 144A company guaranty sr. notes 4.30%, 7/15/29   212,000 185,358
Vistra Operations Co., LLC 144A company guaranty sr. notes 3.55%, 7/15/24   204,000 198,954
Vistra Operations Co., LLC 144A company guaranty sr. unsec. sub. notes 5.00%, 7/31/27   150,000 137,908
Vistra Operations Co., LLC 144A sr. bonds 6.95%, 10/15/33   155,000 152,029
Vistra Operations Co., LLC 144A sr. unsec. notes 7.75%, 10/15/31   130,000 128,056
11,026,216
Total corporate bonds and notes (cost $224,863,921) $200,362,170

U.S. GOVERNMENT AND AGENCY
MORTGAGE OBLIGATIONS (6.3%)*
Principal
amount
Value
U.S. Government Guaranteed Mortgage Obligations (1.6%)
Government National Mortgage Association Pass-Through Certificates    
6.00%, with due dates from 12/20/48 to 3/20/53 $1,611,293 $1,611,982
5.50%, with due dates from 3/20/53 to 7/20/53 3,865,590 3,779,914
4.50%, TBA, 10/1/53 7,000,000 6,465,648
4.50%, with due dates from 5/20/49 to 5/20/49 50,958 47,681
4.00%, TBA, 10/1/53 5,000,000 4,504,863
3.00%, TBA, 10/1/53 10,000,000 8,474,458
3.00%, with due dates from 8/20/49 to 4/20/51 11,444,149 9,749,301
34,633,847


Dynamic Asset Allocation Growth Fund 71




U.S. GOVERNMENT AND AGENCY
MORTGAGE OBLIGATIONS (6.3%)*
cont.
Principal
amount
Value
U.S. Government Agency Mortgage Obligations (4.7%)
Federal Home Loan Mortgage Corporation Pass-Through Certificates    
6.50%, 5/1/53 $298,965 $301,417
6.00%, 5/1/53 698,821 692,176
5.50%, 5/1/53 993,114 962,016
4.00%, 9/1/45 135,644 124,082
3.00%, with due dates from 2/1/47 to 1/1/48 4,324,252 3,637,540
2.50%, with due dates from 8/1/50 to 8/1/51 2,628,783 2,100,985
Federal National Mortgage Association Pass-Through Certificates    
6.50%, with due dates from 3/1/53 to 5/1/53 1,802,626 1,817,305
6.00%, 5/1/53 1,131,576 1,119,402
4.50%, with due dates from 2/1/39 to 4/1/39 15,691 15,058
4.00%, 1/1/57 439,221 388,881
4.00%, with due dates from 6/1/48 to 5/1/49 4,047,784 3,655,505
3.50%, 6/1/56 1,280,646 1,100,179
3.50%, with due dates from 4/1/52 to 5/1/52 1,775,627 1,540,807
3.00%, with due dates from 4/1/46 to 11/1/48 6,000,003 5,075,511
2.50%, with due dates from 7/1/50 to 8/1/51 19,732,740 15,765,080
Uniform Mortgage-Backed Securities    
6.50%, TBA, 10/1/53 10,000,000 10,047,798
6.00%, TBA, 10/1/53 11,000,000 10,857,768
5.50%, TBA, 10/1/53 3,000,000 2,899,689
5.00%, TBA, 10/1/53 11,000,000 10,379,967
3.50%, TBA, 10/1/53 10,000,000 8,598,436
2.50%, TBA, 10/1/53 16,000,000 12,690,616
2.50%, TBA, 10/1/38 12,000,000 10,562,809
104,333,027
Total U.S. government and agency mortgage obligations (cost $150,790,422) $138,966,874

U.S. TREASURY OBLIGATIONS (—%)* Principal
amount
Value
U.S. Treasury Notes    
1.875%, 2/28/27 i $91,000 $82,961
1.625%, 5/15/31 i 141,000 115,335
Total U.S. treasury obligations (cost $198,296) $198,296

MORTGAGE-BACKED SECURITIES (2.2%)* Principal
amount
Value
Agency collateralized mortgage obligations (0.4%)
Federal Home Loan Mortgage Corporation      
REMICs Ser. 5079, Class BI, IO, 5.50%, 2/25/51   $2,052,447 $409,255
REMICs Ser. 5024, Class HI, IO, 4.50%, 10/25/50   2,849,064 633,312
REMICs Ser. 5138, Class YI, IO, 4.50%, 12/25/49   3,742,999 887,048
REMICs Ser. 5134, Class IB, IO, 4.00%, 8/25/51   3,696,651 733,268
REMICs Ser. 5121, Class KI, IO, 4.00%, 6/25/51   2,922,104 635,574
REMICs Ser. 5036, Class IK, IO, 4.00%, 4/25/50   3,044,577 620,096
REMICs IFB Ser. 3065, Class DC, ((-3 x US 30 Day Average SOFR) + 19.52%), 3.577%, 3/15/35   18,574 17,957
REMICs Ser. 5142, Class AI, IO, 3.50%, 9/25/51   3,590,519 654,212


72 Dynamic Asset Allocation Growth Fund



MORTGAGE-BACKED SECURITIES (2.2%)* cont. Principal
amount
Value
Agency collateralized mortgage obligations cont.
Federal Home Loan Mortgage Corporation      
REMICs Ser. 5010, Class IA, IO, 3.50%, 9/25/50   $2,236,586 $380,632
REMICs IFB Ser. 4326, Class GS, IO, ((-1 x US 30 Day Average SOFR) + 5.94%), 0.622%, 4/15/44   3,297,047 247,016
Federal National Mortgage Association      
REMICs Ser. 21-65, Class LI, IO, 3.50%, 10/25/51   2,607,500 471,384
REMICs Ser. 20-96, Class JI, IO, 3.00%, 1/25/51   4,850,585 573,681
REMICs Ser. 21-28, Class NI, IO, 3.00%, 5/25/41   4,805,001 527,589
REMICs Ser. 21-45, Class MI, IO, 2.50%, 2/25/49   4,380,460 608,434
FRB Ser. 02-W8, Class 1, IO, 0.296%, 6/25/42 W   179,626 1,019
REMICs Ser. 01-79, Class BI, IO, 0.237%, 3/25/45 W   69,014 173
REMICs Ser. 03-34, PO, zero %, 4/25/43   5,751 4,677
Government National Mortgage Association      
Ser. 10-9, Class UI, IO, 5.00%, 1/20/40   159,816 32,912
Ser. 21-117, Class MI, IO, 3.50%, 5/20/42   4,505,148 687,936
Ser. 15-H26, Class EI, IO, 1.696%, 10/20/65 W   1,342,421 54,100
FRB Ser. 16-H16, Class LI, IO, 0.962%, 7/20/66 W   7,059,035 255,857
8,436,132
Commercial mortgage-backed securities (0.9%)
Arbor Multifamily Mortgage Securities Trust 144A FRB Ser. 20-MF1, Class XA, IO, 1.075%, 5/15/53 W   4,136,461 187,739
Arbor Realty Commercial Real Estate CLO, Ltd. 144A FRN Ser. 21-FL2, Class A, (CME Term SOFR 1 Month + 1.21%), 6.547%, 5/15/36 (Cayman Islands)   234,000 231,104
AREIT CRE Trust 144A FRB Ser. 21-CRE5, Class A, 6.525%, 11/17/38 (Cayman Islands)   268,421 261,710
AREIT Trust 144A FRB Ser. 20-CRE4, Class C, 8.553%, 4/15/37   378,986 366,593
Banc of America Commercial Mortgage Trust FRB Ser. 07-1, Class XW, IO, 0.508%, 1/15/49 W   15,447 28
BANK FRB Ser. 19-BN20, Class XA, IO, 0.935%, 9/15/62 W   3,755,409 137,664
Barclays Commercial Mortgage Trust      
Ser. 19-C3, Class C, 4.178%, 5/15/52   762,000 594,127
FRB Ser. 19-C4, Class XA, IO, 1.702%, 8/15/52 W   4,627,747 294,452
Benchmark Mortgage Trust Ser. 19-B11, Class AS, 3.784%, 5/15/52   243,000 199,069
BXMT, Ltd. 144A FRB Ser. 21-FL4, Class A, 6.497%, 5/15/38 (Cayman Islands)   534,000 502,177
CFCRE Commercial Mortgage Trust FRB Ser. 17-C8, Class B, 4.199%, 6/15/50 W   193,000 164,161
CFCRE Commercial Mortgage Trust 144A      
FRB Ser. 11-C2, Class D, 5.08%, 12/15/47 W   85,533 80,401
FRB Ser. 11-C2, Class E, 5.08%, 12/15/47 W   562,000 459,446
Citigroup Commercial Mortgage Trust      
Ser. 14-GC21, Class B, 4.328%, 5/10/47 W   570,000 524,624
FRB Ser. 14-GC21, Class XA, IO, 1.281%, 5/10/47 W   2,948,155 8,105
Citigroup Commercial Mortgage Trust 144A FRB Ser. 14-GC19, Class D, 5.251%, 3/11/47 W   459,000 423,737
COMM Mortgage Trust      
FRB Ser. 13-CR13, Class C, 4.95%, 11/10/46 W   648,000 584,444
FRB Ser. 14-CR17, Class C, 4.942%, 5/10/47 W   890,000 807,112
FRB Ser. 14-CR18, Class C, 4.893%, 7/15/47 W   354,000 340,952


Dynamic Asset Allocation Growth Fund 73



MORTGAGE-BACKED SECURITIES (2.2%)* cont. Principal
amount
Value
Commercial mortgage-backed securities cont.
COMM Mortgage Trust      
Ser. 14-LC15, Class B, 4.599%, 4/10/47 W   $229,000 $217,267
FRB Ser. 15-LC21, Class B, 4.466%, 7/10/48 W   370,000 299,256
FRB Ser. 15-LC19, Class C, 4.354%, 2/10/48 W   620,000 545,304
FRB Ser. 14-UBS6, Class XA, IO, 0.975%, 12/10/47 W   4,891,692 28,651
COMM Mortgage Trust 144A      
FRB Ser. 10-C1, Class D, 5.985%, 7/10/46 W   528,755 490,130
FRB Ser. 13-CR13, Class D, 4.95%, 11/10/46 W   347,000 270,297
FRB Ser. 15-LC23, Class D, 3.697%, 10/10/48 W   336,000 281,357
Credit Suisse Commercial Mortgage Trust 144A FRB Ser. 07-C2, Class AX, IO, 0.047%, 1/15/49 W   1,119,720 1
CSAIL Commercial Mortgage Trust      
Ser. 16-C7, Class AS, 3.958%, 11/15/49 W   323,000 291,750
Ser. 15-C2, Class AS, 3.849%, 6/15/57 W   321,000 296,422
Ser. 19-C17, Class AS, 3.278%, 9/15/52   428,000 348,861
FRB Ser. 20-C19, Class XA, IO, 1.222%, 3/15/53 W   6,347,761 328,692
CSAIL Commercial Mortgage Trust 144A FRB Ser. 15-C1, Class D, 3.892%, 4/15/50 W   645,000 393,450
DBUBS Mortgage Trust 144A FRB Ser. 11-LC3A, Class D, 5.537%, 8/10/44 W   752,683 667,247
GS Mortgage Securities Trust      
FRB Ser. 14-GC22, Class C, 4.842%, 6/10/47 W   521,000 396,826
FRB Ser. 14-GC22, Class XA, IO, 1.087%, 6/10/47 W   6,395,548 16,171
GS Mortgage Securities Trust 144A FRB Ser. 10-C1, Class D, 6.57%, 8/10/43 W   246,000 195,197
JPMBB Commercial Mortgage Securities Trust      
FRB Ser. 14-C19, Class C, 4.781%, 4/15/47 W   168,000 158,884
FRB Ser. 14-C22, Class C, 4.70%, 9/15/47 W   473,000 410,215
FRB Ser. 14-C23, Class C, 4.629%, 9/15/47 W   476,000 431,341
FRB Ser. 13-C17, Class XA, IO, 0.777%, 1/15/47 W   1,631,374 104
JPMorgan Chase Commercial Mortgage Securities Trust      
FRB Ser. 13-C16, Class C, 5.10%, 12/15/46 W   450,000 421,425
Ser. 14-C20, Class AS, 4.043%, 7/15/47   351,000 341,894
FRB Ser. 06-CB17, Class X, IO, 1.144%, 12/12/43 W   141,521 852
FRB Ser. 13-LC11, Class XA, IO, 1.045%, 4/15/46 W   592,681 29
JPMorgan Chase Commercial Mortgage Securities Trust 144A FRB Ser. 12-C6, Class E, 5.129%, 5/15/45 W   559,000 455,117
LB-UBS Commercial Mortgage Trust 144A FRB Ser. 06-C6, Class XCL, IO, 0.435%, 9/15/39 W   1,115,254 4,172
MF1 Multifamily Housing Mortgage, Ltd. 144A FRB Ser. 21-FL6, Class A, (CME Term SOFR 1 Month + 1.21%), 6.545%, 7/16/36 (Cayman Islands)   971,625 949,077
Morgan Stanley Bank of America Merrill Lynch Trust      
FRB Ser. 14-C14, Class C, 5.222%, 2/15/47 W   418,603 409,306
FRB Ser. 14-C17, Class C, 4.645%, 8/15/47 W   708,000 673,307
Ser. 14-C15, Class B, 4.565%, 4/15/47 W   232,000 228,132
FRB Ser. 15-C24, Class B, 4.468%, 5/15/48 W   225,000 209,840
Ser. 14-C19, Class C, 4.00%, 12/15/47   255,000 230,376
FRB Ser. 14-C17, Class XA, IO, 1.188%, 8/15/47 W   3,507,993 9,051


74 Dynamic Asset Allocation Growth Fund



MORTGAGE-BACKED SECURITIES (2.2%)* cont. Principal
amount
Value
Commercial mortgage-backed securities cont.
Morgan Stanley Bank of America Merrill Lynch Trust 144A FRB Ser. 12-C6, Class D, 4.531%, 11/15/45 W   $450,000 $364,500
Morgan Stanley Capital I Trust Ser. 16-UB12, Class AS, 3.778%, 12/15/49 W   200,000 175,368
PFP, Ltd. 144A REMICs FRB Ser. 21-8, Class AS, 6.696%, 8/9/37 (Cayman Islands)   326,000 313,828
UBS Commercial Mortgage Trust      
FRB Ser. 17-C7, Class XA, IO, 1.154%, 12/15/50 W   3,524,629 110,429
FRB Ser. 18-C8, Class XA, IO, 0.965%, 2/15/51 W   3,684,835 108,348
VMC Finance, LLC 144A FRB Ser. 21-FL4, Class A, 6.545%, 6/16/36   100,167 98,163
Wachovia Bank Commercial Mortgage Trust FRB Ser. 06-C29, IO, 0.452%, 11/15/48 W   185,948 280
Wells Fargo Commercial Mortgage Trust      
FRB Ser. 20-C57, Class C, 4.157%, 8/15/53 W   139,000 109,180
FRB Ser. 13-LC12, Class C, 4.087%, 7/15/46 W   408,000 272,272
Ser. 16-BNK1, Class AS, 2.814%, 8/15/49   274,000 231,226
FRB Ser. 19-C52, Class XA, IO, 1.749%, 8/15/52 W   3,505,373 218,836
FRB Ser. 14-LC16, Class XA, IO, 1.209%, 8/15/50 W   7,018,723 19,821
FRB Ser. 16-LC25, Class XA, IO, 0.977%, 12/15/59 W   4,476,312 93,292
Wells Fargo Commercial Mortgage Trust 144A FRB Ser. 13-LC12, Class D, 4.087%, 7/15/46 W   518,000 130,810
WF-RBS Commercial Mortgage Trust      
FRB Ser. 13-C11, Class C, 4.139%, 3/15/45 W   849,000 682,164
FRB Ser. 14-C24, Class XA, IO, 0.982%, 11/15/47 W   8,317,939 45,642
FRB Ser. 14-C22, Class XA, IO, 0.91%, 9/15/57 W   17,063,999 69,314
WF-RBS Commercial Mortgage Trust 144A      
FRB Ser. 11-C3, Class D, 6.05%, 3/15/44 (In default) † W   206,195 58,887
FRB Ser. 13-C15, Class D, 4.352%, 8/15/46 W   437,000 108,158
19,378,164
Residential mortgage-backed securities (non-agency) (0.9%)
American Home Mortgage Investment Trust FRB Ser. 07-1, Class GA1C, (CME Term SOFR 1 Month + 0.30%), 5.624%, 5/25/47   343,054 200,208
Arroyo Mortgage Trust 144A      
Ser. 19-1, Class A3, 4.208%, 1/25/49 W   52,801 48,087
Ser. 19-3, Class A3, 3.416%, 10/25/48 W   64,420 58,295
Bellemeade Re, Ltd. 144A FRB Ser. 19-4A, Class M1C, (ICE LIBOR USD 1 Month + 2.50%), 7.934%, 10/25/29 (Bermuda)   120,409 120,559
BRAVO Residential Funding Trust 144A      
Ser. 23-NQM5, Class A1, 6.505%, 6/25/63   322,166 320,895
FRB Ser. 21-HE3, Class A2, (US 30 Day Average SOFR + 1.00%), 6.315%, 8/25/69   275,157 248,938
Ser. 21-C, Class A1, 1.62%, 3/1/61   278,767 255,857
Bunker Hill Loan Depositary Trust 144A Ser. 20-1, Class A2, 2.60%, 2/25/55 W   285,000 254,686
Cascade Funding Mortgage Trust, LLC 144A Ser. 21-HB7, Class M2, 2.679%, 10/27/31 W   1,129,000 1,051,457
Citigroup Mortgage Loan Trust, Inc. 144A Ser. 22-A, Class A1, 6.17%, 9/25/62   137,832 132,744
Citigroup Mortgage Loan Trust, Inc. FRB Ser. 05-2, Class 1A2A, 4.65%, 5/25/35 W   107,211 103,468


Dynamic Asset Allocation Growth Fund 75



MORTGAGE-BACKED SECURITIES (2.2%)* cont. Principal
amount
Value
Residential mortgage-backed securities (non-agency) cont.
COLT Mortgage Loan Trust 144A Ser. 20-2, Class A1, 1.853%, 3/25/65 W   $1,773 $1,754
Countrywide Alternative Loan Trust      
FRB Ser. 05-59, Class 1A1, (CME Term SOFR 1 Month + 0.77%), 6.099%, 11/20/35   271,259 238,506
FRB Ser. 06-OA10, Class 4A1, (CME Term SOFR 1 Month + 0.49%), 5.814%, 8/25/46   669,834 546,094
FRB Ser. 06-OA19, Class A1, (CME Term SOFR 1 Month + 0.29%), 5.619%, 2/20/47   223,459 169,203
FRB Ser. 06-OA7, Class 1A2, (Federal Reserve US 12 Month Cumulative Avg 1 yr CMT + 0.94%), 5.566%, 6/25/46   402,373 334,752
FRB Ser. 05-65CB, Class 2A1, (CME Term SOFR 1 Month + 0.54%), 5.50%, 12/25/35   477,737 321,561
CSMC Trust 144A      
Ser. 21-RPL7, Class A1, 1.926%, 7/27/61 W   166,571 152,443
Ser. 21-RPL4, Class A1, 1.796%, 12/27/60 W   168,797 157,219
Eagle Re, Ltd. 144A FRB Ser. 18-1, Class M1, (ICE LIBOR USD 1 Month + 1.70%), 7.129%, 11/25/28 (Bermuda)   227,125 227,125
Federal Home Loan Mortgage Corporation      
Structured Agency Credit Risk Debt FRN Ser. 16-DNA3, Class M3, (US 30 Day Average SOFR + 5.11%), 10.429%, 12/25/28   216,862 231,507
Structured Agency Credit Risk Debt FRN Ser. 15-DNA3, Class M3, (US 30 Day Average SOFR + 4.81%), 10.129%, 4/25/28   250,364 262,863
Structured Agency Credit Risk Debt FRN Ser. 13-DN2, Class M2, (US 30 Day Average SOFR + 4.36%), 9.679%, 11/25/23   189,676 191,696
Structured Agency Credit Risk Debt FRN Ser. 17-HQA1, Class M2, (US 30 Day Average SOFR + 3.66%), 8.979%, 8/25/29   128,017 133,666
Federal Home Loan Mortgage Corporation 144A      
Structured Agency Credit Risk Trust REMICs FRB Ser. 20-DNA5, Class B1, (US 30 Day Average SOFR + 4.80%), 10.115%, 10/25/50   286,000 311,070
Structured Agency Credit Risk Debt FRN Ser. 22-DNA5, Class M1A, (US 30 Day Average SOFR + 2.95%), 8.265%, 6/25/42   503,562 516,352
Structured Agency Credit Risk Trust REMICs FRB Ser. 20-DNA5, Class M2, (US 30 Day Average SOFR + 2.80%), 8.115%, 10/25/50   38,188 38,716
Structured Agency Credit Risk Debt FRN Ser. 22-HQA2, Class M1A, (US 30 Day Average SOFR + 2.65%), 7.965%, 7/25/42   474,269 484,347
Structured Agency Credit Risk Debt FRN Ser. 21-DNA2, Class M2, (US 30 Day Average SOFR + 2.30%), 7.615%, 8/25/33   402,036 405,165
Structured Agency Credit Risk Trust REMICs FRB Ser. 22-HQA3, Class M1A, (US 30 Day Average SOFR + 2.30%), 7.615%, 8/25/42   170,163 172,377
Structured Agency Credit Risk Trust REMICs FRB Ser. 22-DNA4, Class M1A, (US 30 Day Average SOFR + 2.20%), 7.515%, 5/25/42   239,721 243,007
Structured Agency Credit Risk Trust REMICs FRB Ser. 22-DNA6, Class M1A, (US 30 Day Average SOFR + 2.15%), 7.465%, 9/25/42   70,747 71,416
Structured Agency Credit Risk Trust FRB Ser. 19-DNA4, Class M2, (US 30 Day Average SOFR + 2.06%), 7.379%, 10/25/49   976 979
Structured Agency Credit Risk Trust REMICs FRB Ser. 20-HQA1, Class M2, (US 30 Day Average SOFR + 2.01%), 7.329%, 1/25/50   24,146 24,235
Structured Agency Credit Risk Debt FRN Ser. 23-HQA2, Class M1A, (US 30 Day Average SOFR + 2.00%), 7.315%, 6/25/43   33,486 33,654


76 Dynamic Asset Allocation Growth Fund



MORTGAGE-BACKED SECURITIES (2.2%)* cont. Principal
amount
Value
Residential mortgage-backed securities (non-agency) cont.
Federal Home Loan Mortgage Corporation 144A      
Structured Agency Credit Risk Trust REMICs FRB Ser. 22-DNA3, Class M1A, (US 30 Day Average SOFR + 2.00%), 7.315%, 4/25/42   $91,938 $92,627
Structured Agency Credit Risk Trust REMICs FRB Ser. 22-DNA1, Class M1B, (US 30 Day Average SOFR + 1.85%), 7.165%, 1/25/42   168,000 166,034
Structured Agency Credit Risk Trust REMICs FRB Ser. 20-DNA1, Class M2, (US 30 Day Average SOFR + 1.81%), 7.129%, 1/25/50   2,640 2,649
Structured Agency Credit Risk Debt FRN Ser. 22-DNA2, Class M1A, (US 30 Day Average SOFR + 1.30%), 6.615%, 2/25/42   208,547 208,025
Structured Agency Credit Risk Trust REMICs FRB Ser. 22-DNA1, Class M1A, (US 30 Day Average SOFR + 1.00%), 6.315%, 1/25/42   82,039 81,333
Structured Agency Credit Risk Trust REMICs FRB Ser. 21-HQA3, Class M1, (US 30 Day Average SOFR + 0.85%), 6.165%, 9/25/41   86,300 84,904
Structured Agency Credit Risk Trust REMICs FRB Ser. 21-DNA6, Class M1, (US 30 Day Average SOFR + 0.80%), 6.115%, 10/25/41   235,190 234,756
Seasoned Credit Risk Transfer Trust FRB Ser. 17-2, Class 2, 4.00%, 8/25/56 W   230,460 225,532
Federal National Mortgage Association      
Connecticut Avenue Securities FRB Ser. 16-C01, Class 2M2, (US 30 Day Average SOFR + 7.06%), 12.379%, 8/25/28   235,605 247,345
Connecticut Avenue Securities FRB Ser. 16-C01, Class 1M2, (US 30 Day Average SOFR + 6.86%), 12.179%, 8/25/28   323,278 346,204
Connecticut Avenue Securities FRB Ser. 16-C02, Class 1M2, (US 30 Day Average SOFR + 6.11%), 11.429%, 9/25/28   216,496 227,530
Connecticut Avenue Securities FRB Ser. 16-C03, Class 2M2, (US 30 Day Average SOFR + 6.01%), 11.329%, 10/25/28   49,838 53,077
Connecticut Avenue Securities FRB Ser. 15-C04, Class 1M2, (US 30 Day Average SOFR + 5.81%), 11.129%, 4/25/28   475,376 507,215
Connecticut Avenue Securities FRB Ser. 15-C04, Class 2M2, (US 30 Day Average SOFR + 5.66%), 10.979%, 4/25/28   505,227 527,724
Connecticut Avenue Securities FRB Ser. 16-C03, Class 1M2, (US 30 Day Average SOFR + 5.41%), 10.729%, 10/25/28   10,786 11,425
Connecticut Avenue Securities FRB Ser. 14-C04, Class 2M2, (US 30 Day Average SOFR + 5.11%), 10.429%, 11/25/24   612 616
Connecticut Avenue Securities FRB Ser. 14-C04, Class 1M2, (US 30 Day Average SOFR + 4.90%), 10.329%, 11/25/24   4,954 5,147
Connecticut Avenue Securities FRB Ser. 16-C05, Class 2M2, (US 30 Day Average SOFR + 4.56%), 9.879%, 1/25/29   441,981 464,261
Connecticut Avenue Securities FRB Ser. 14-C01, Class M2, (US 30 Day Average SOFR + 4.51%), 9.829%, 1/25/24   7,041 7,113
Connecticut Avenue Securities FRB Ser. 16-C07, Class 2M2, (US 30 Day Average SOFR + 4.46%), 9.779%, 5/25/29   357,932 376,705
Connecticut Avenue Securities FRB Ser. 16-C06, Class 1M2, (US 30 Day Average SOFR + 4.36%), 9.679%, 4/25/29   259,788 272,744
Connecticut Avenue Securities FRB Ser. 16-C04, Class 1M2, (US 30 Day Average SOFR + 4.36%), 9.679%, 1/25/29   531,507 556,257
Connecticut Avenue Securities FRB Ser. 17-C02, Class 2M2C, (US 30 Day Average SOFR + 3.76%), 9.079%, 9/25/29   47,000 48,939
Connecticut Avenue Securities FRB Ser. 17-C01, Class 1M2, (US 30 Day Average SOFR + 3.66%), 8.979%, 7/25/29   352,402 365,220


Dynamic Asset Allocation Growth Fund 77



MORTGAGE-BACKED SECURITIES (2.2%)* cont. Principal
amount
Value
Residential mortgage-backed securities (non-agency) cont.
Federal National Mortgage Association      
Connecticut Avenue Securities FRB Ser. 14-C03, Class 2M2, (US 30 Day Average SOFR + 3.01%), 8.329%, 7/25/24   $35,840 $36,203
Connecticut Avenue Securities Trust FRB Ser. 17-C06, Class 2M2C, (US 30 Day Average SOFR + 2.91%), 8.229%, 2/25/30   83,000 84,605
Connecticut Avenue Securities Trust FRB Ser. 18-C05, Class 1M2, (US 30 Day Average SOFR + 2.46%), 7.779%, 1/25/31   156,053 159,680
Connecticut Avenue Securities FRB Ser. 18-C02, Class 2M2, (US 30 Day Average SOFR + 2.31%), 7.629%, 8/25/30   5,261 5,336
Connecticut Avenue Securities FRB Ser. 17-C01, Class 1EB1, (US 30 Day Average SOFR + 1.36%), 6.679%, 7/25/29   18,382 18,390
Federal National Mortgage Association 144A      
Connecticut Avenue Securities Trust FRB Ser. 22-R05, Class 2M2, (US 30 Day Average SOFR + 3.00%), 8.315%, 4/25/42   581,000 589,504
Connecticut Avenue Securities Trust FRB Ser. 22-R07, Class 1M1, (US 30 Day Average SOFR + 2.95%), 8.265%, 6/25/42   258,243 265,218
Connecticut Avenue Securities Trust FRB Ser. 22-R06, Class 1M1, (US 30 Day Average SOFR + 2.75%), 8.065%, 5/25/42   127,345 130,532
Connecticut Avenue Securities Trust FRB Ser. 22-R08, Class 1M1, (US 30 Day Average SOFR + 2.55%), 7.865%, 7/25/42   111,230 113,272
Connecticut Avenue Securities Trust FRB Ser. 18-R07, Class 1M2, (US 30 Day Average SOFR + 2.51%), 7.829%, 4/25/31   3,966 3,979
Connecticut Avenue Securities Trust FRB Ser. 22-R09, Class 2M1, (US 30 Day Average SOFR + 2.50%), 7.815%, 9/25/42   145,666 147,807
Connecticut Avenue Securities Trust FRB Ser. 19-HRP1, Class M2, (US 30 Day Average SOFR + 2.26%), 7.579%, 11/25/39   64,165 64,472
Connecticut Avenue Securities Trust FRB Ser. 19-R03, Class 1M2, (US 30 Day Average SOFR + 2.26%), 7.579%, 9/25/31   244 244
Connecticut Avenue Securities Trust FRB Ser. 20-R01, Class 1M2, (US 30 Day Average SOFR + 2.16%), 7.479%, 1/25/40   243,139 245,270
Connecticut Avenue Securities Trust FRB Ser. 22-R03, Class 1M1, (US 30 Day Average SOFR + 2.10%), 7.415%, 3/25/42   185,029 187,111
Connecticut Avenue Securities Trust FRB Ser. 22-R04, Class 1M1, (US 30 Day Average SOFR + 2.00%), 7.315%, 3/25/42   104,035 104,784
Connecticut Avenue Securities Trust FRB Ser. 22-R05, Class 2M1, (US 30 Day Average SOFR + 1.90%), 7.215%, 4/25/42   71,369 71,547
Connecticut Avenue Securities Trust FRB Ser. 23-R06, Class 1M1, (US 30 Day Average SOFR + 1.70%), 7.015%, 7/25/43   13,393 13,470
Connecticut Avenue Securities Trust FRB Ser. 22-R02, Class 2M1, (US 30 Day Average SOFR + 1.10%), 6.515%, 1/25/42   72,752 72,751
Connecticut Avenue Securities Trust FRB Ser. 22-R01, Class 1M1, (US 30 Day Average SOFR + 1.00%), 6.315%, 12/25/41   120,316 119,564
Connecticut Avenue Securities FRB Ser. 21-R02, Class 2M1, (US 30 Day Average SOFR + 0.90%), 6.215%, 11/25/41   39,354 39,209
Connecticut Avenue Securities Trust FRB Ser. 21-R03, Class 1M1, (US 30 Day Average SOFR + 0.85%), 6.165%, 12/25/41   5,551 5,539
Connecticut Avenue Securities Trust FRB Ser. 21-R01, Class 1M1, (US 30 Day Average SOFR + 0.75%), 6.065%, 10/25/41   9,471 9,450
Finance of America HECM Buyout 144A Ser. 22-HB2, Class A1A, 4.00%, 8/1/32 W   320,089 306,653


78 Dynamic Asset Allocation Growth Fund




MORTGAGE-BACKED SECURITIES (2.2%)* cont. Principal
amount
Value
Residential mortgage-backed securities (non-agency) cont.
Home Partners of America Trust 144A Ser. 21-2, Class C, 2.402%, 12/17/26   $241,625 $211,419
JPMorgan Mortgage Trust 144A FRB Ser. 23-HE2, Class A1, (US 30 Day Average SOFR + 1.70%), 7.016%, 3/25/54   217,000 217,136
Legacy Mortgage Asset Trust 144A      
Ser. 20-GS5, Class A1, 6.25%, 6/25/60   122,344 120,607
FRB Ser. 19-GS7, Class A1, 6.25%, 11/25/59   252,995 254,158
FRB Ser. 20-GS1, Class A1, 5.882%, 10/25/59   235,737 232,588
Long Beach Mortgage Loan Trust FRB Ser. 04-1, Class A2, (CME Term SOFR 1 Month + 0.91%), 6.234%, 2/25/34   311,273 303,097
MFRA Trust 144A Ser. 23-INV2, Class A1, 6.775%, 10/25/58   213,000 212,452
Mill City Mortgage Loan Trust 144A Ser. 23-NQM2, Class A1, 6.24%, 12/25/67   508,223 503,794
Morgan Stanley ABS Capital I, Inc. Trust FRB Ser. 04-HE6, Class M1, (CME Term SOFR 1 Month + 0.94%), 6.259%, 8/25/34   77,123 70,674
Morgan Stanley Resecuritization Trust 144A Ser. 15-R4, Class CB1, 4.418%, 8/26/47 W   91,550 87,296
New Century Home Equity Loan Trust FRB Ser. 03-4, Class M1, (CME Term SOFR 1 Month + 1.24%), 6.559%, 10/25/33   103,054 96,762
Park Place Securities, Inc. Asset-Backed Pass-Through Certificates FRB Ser. 04-WCW2, Class M3, (CME Term SOFR 1 Month + 1.16%), 6.484%, 10/25/34   207,849 200,581
Residential Mortgage Loan Trust 144A Ser. 20-2, Class A2, 2.508%, 5/25/60 W   189,000 175,790
Starwood Mortgage Residential Trust 144A      
Ser. 20-2, Class M1E, 3.00%, 4/25/60   323,000 292,893
Ser. 20-3, Class A3, 2.591%, 4/25/65 W   407,000 320,796
Structured Asset Mortgage Investments II Trust FRB Ser. 07-AR7, Class 1A1, (CME Term SOFR 1 Month + 0.96%), 6.284%, 5/25/47   525,676 418,511
Toorak Mortgage Corp., Ltd. 144A Ser. 21-1, Class A1, 2.24%, 6/25/24   114,440 110,538
Towd Point Mortgage Trust 144A Ser. 16-5, Class M2, 3.375%, 10/25/56 W   177,000 154,501
WaMu Mortgage Pass-Through Certificates Trust      
FRB Ser. 05-AR9, Class A1C3, (CME Term SOFR 1 Month + 1.07%), 6.394%, 7/25/45   100,923 91,093
FRB Ser. 05-AR11, Class A1B3, (CME Term SOFR 1 Month + 0.91%), 6.234%, 8/25/45   146,252 135,664
FRB Ser. 07-HY2, Class 1A1, 3.907%, 12/25/36 W   214,265 185,280
20,368,503
Total mortgage-backed securities (cost $50,927,888) $48,182,799

COLLATERALIZED LOAN OBLIGATIONS (0.8%)* Principal
amount
Value
522 Funding CLO, Ltd. 144A FRB Ser. 21-7A, Class A, (CME Term SOFR 3 Month + 1.33%), 6.677%, 4/23/34 (Cayman Islands)   $250,000 $245,974
AB BSL CLO 2, Ltd. 144A FRB Ser. 21-2A, Class A, (CME Term SOFR 3 Month + 1.36%), 6.67%, 4/15/34 (Cayman Islands)   283,000 280,689
AIG CLO, Ltd. 144A FRB Ser. 21-1A, Class A, (CME Term SOFR 3 Month + 1.36%), 6.707%, 4/22/34   250,000 247,275


Dynamic Asset Allocation Growth Fund 79



COLLATERALIZED LOAN OBLIGATIONS (0.8%)* cont. Principal
amount
Value
Apex Credit CLO, Ltd. 144A FRB Ser. 21-2A, Class A1R, (CME Term SOFR 3 Month + 1.41%), 6.763%, 10/25/32 (Cayman Islands)   $300,000 $296,430
Ares LXIV CLO, Ltd. 144A FRB Ser. 22-64A, Class A1, (CME Term SOFR 3 Month + 1.44%), 6.748%, 4/15/35 (Cayman Islands)   250,000 247,527
Bain Capital Credit CLO, Ltd. 144A FRB Ser. 23-3A, Class A, (CME Term SOFR 3 Month + 1.80%), 7.171%, 7/24/36 (Jersey)   308,000 307,180
Ballyrock CLO 17, Ltd. 144A FRB Ser. 21-17A, Class A1A, (CME Term SOFR 3 Month + 1.41%), 6.738%, 10/20/34 (Cayman Islands)   350,000 348,431
Barings CLO, Ltd. 144A FRB Ser. 21-1A, Class AR, (CME Term SOFR 3 Month + 1.41%), 6.72%, 10/15/36 (Cayman Islands)   350,000 347,727
Barings CLO, Ltd. 144A FRB Ser. 23-1A, Class A, (CME Term SOFR 3 Month + 1.75%), 6.855%, 4/20/36 (Cayman Islands)   296,000 295,010
Black Diamond CLO, Ltd. 144A FRB Ser. 21-1A, Class A1A, (CME Term SOFR 3 Month + 1.51%), 6.857%, 11/22/34 (Cayman Islands)   711,000 700,181
BlueMountain CLO XXXII, Ltd. 144A FRB Ser. 21-32A, Class A, (CME Term SOFR 3 Month + 1.43%), 6.74%, 10/15/34 (Cayman Islands)   250,000 246,649
CBAM CLO, Ltd. 144A FRB Ser. 18-7A, Class A, (CME Term SOFR 3 Month + 1.36%), 6.688%, 7/20/31 (Cayman Islands)   250,000 248,869
Crown Point CLO 10, Ltd. 144A FRB Ser. 21-10A, Class A, (CME Term SOFR 3 Month + 1.43%), 6.758%, 7/20/34 (Cayman Islands)   250,000 247,299
Diameter Capital CLO 1, Ltd. 144A FRB Ser. 21-1A, Class A1A, (CME Term SOFR 3 Month + 1.50%), 6.81%, 7/15/36   332,000 328,121
Ellington CLO III, Ltd. 144A FRB Ser. 18-3A, Class A1, (CME Term SOFR 3 Month + 1.91%), 7.238%, 7/20/30   382,132 381,632
Elmwood CLO 19, Ltd. 144A FRB Ser. 22-6A, Class A, (CME Term SOFR 3 Month + 2.20%), 7.508%, 10/17/34 (Cayman Islands)   250,000 249,996
Elmwood CLO 19, Ltd. 144A FRB Ser. 23-6A, Class AR, (CME Term SOFR 3 Month + 1.70%), 7.076%, 10/17/36 (Cayman Islands) ##   250,000 250,063
Elmwood CLO 21, Ltd. 144A FRB Ser. 23-8A, Class AR, (CME Term SOFR 3 Month + 1.65%), 7.06%, 10/20/36 (Cayman Islands) ##   350,000 350,062
Elmwood CLO 23, Ltd. 144A FRB Ser. 23-2A, Class A, (CME Term SOFR 3 Month + 1.80%), 6.857%, 4/16/36 (Cayman Islands)   250,000 250,411
Elmwood CLO IV, Ltd. 144A FRB Ser. 20-1A, Class A, (CME Term SOFR 3 Month + 1.50%), 6.81%, 4/15/33 (Cayman Islands)   400,000 398,807
Guggenheim 1828 CLO, Ltd. 144A FRB Ser. 18-1A, Class A1S1, (CME Term SOFR 3 Month + 1.49%), 6.80%, 10/15/31 (Cayman Islands)   249,053 248,157
Gulf Stream Meridian 1, Ltd. 144A FRB Ser. 20-IA, Class A1, (CME Term SOFR 3 Month + 1.63%), 6.94%, 4/15/33 (Cayman Islands)   500,000 498,480
Gulf Stream Meridian 4, Ltd. 144A FRB Ser. 21-4A, Class A1, (CME Term SOFR 3 Month + 1.46%), 6.77%, 7/15/34 (Cayman Islands)   250,000 248,395
HalseyPoint CLO 4, Ltd. 144A FRB Ser. 21-4A, Class A, (CME Term SOFR 3 Month + 1.48%), 6.808%, 4/20/34 (Cayman Islands)   250,000 246,413
ICG US CLO, Ltd. 144A FRB Ser. 21-1A, Class ARR, (CME Term SOFR 3 Month + 1.43%), 6.797%, 7/28/34   250,000 246,566
Invesco U.S. CLO, Ltd. 144A FRB Ser. 23-3A, Class A, (CME Term SOFR 3 Month + 1.80%), 7.219%, 7/15/36 (Jersey)   250,000 249,970
Jamestown CLO IX, Ltd. 144A FRB Ser. 21-9A, Class A1RR, (CME Term SOFR 3 Month + 1.50%), 6.853%, 7/25/34 (Cayman Islands)   250,000 247,695
KKR Financial CLO 52, Ltd. 144A FRB Ser. 23-52A, Class A2, (CME Term SOFR 3 Month + 2.25%), 7.531%, 7/16/36 (Cayman Islands)   250,000 250,376
LCM, Ltd. 144A FRB Ser. 30A, Class AR, (CME Term SOFR 3 Month + 1.34%), 6.668%, 4/20/31 (Cayman Islands)   316,000 314,111


80 Dynamic Asset Allocation Growth Fund



COLLATERALIZED LOAN OBLIGATIONS (0.8%)* cont. Principal
amount
Value
Logan CLO I, Ltd. 144A FRB Ser. 21-1A, Class A, (CME Term SOFR 3 Month + 1.42%), 6.748%, 7/20/34 (Cayman Islands)   $250,000 $248,994
Marathon CLO XIII, Ltd. 144A FRB Ser. 21-1A, Class AANR, (CME Term SOFR 3 Month + 1.58%), 6.89%, 4/15/32 (Cayman Islands)   323,000 321,008
Nassau, Ltd. 144A FRB Ser. 21-1A, Class A1R, (CME Term SOFR 3 Month + 1.55%), 6.86%, 1/15/35 (Cayman Islands)   250,000 245,561
Neuberger Berman Loan Advisers CLO 45, Ltd. 144A FRB Ser. 21-45A, Class A, (CME Term SOFR 3 Month + 1.39%), 6.703%, 10/14/35 (Cayman Islands)   250,000 247,797
Neuberger Berman Loan Advisers CLO 47, Ltd. 144A FRB Ser. 22-47A, Class A, (CME Term SOFR 3 Month + 1.30%), 6.611%, 4/14/35 (Cayman Islands)   250,000 247,222
Palmer Square CLO, Ltd. 144A FRB Ser. 22-5A, Class A, (CME Term SOFR 3 Month + 2.00%), 7.326%, 10/20/35 (Jersey)   250,000 251,119
Park Avenue Institutional Advisers CLO, Ltd. 144A FRB Ser. 19-1A, Class A2A, (CME Term SOFR 3 Month + 2.26%), 7.626%, 5/15/32 (Cayman Islands)   628,000 622,182
Park Avenue Institutional Advisers CLO, Ltd. 144A FRB Ser. 21-1A, Class A1A, (CME Term SOFR 3 Month + 1.65%), 6.978%, 1/20/34 (Cayman Islands)   500,000 495,846
RR 14, Ltd. 144A FRB Ser. 21-14A, Class A1, (CME Term SOFR 3 Month + 1.38%), 6.69%, 4/15/36 (Cayman Islands)   297,000 294,125
Shackleton CLO, Ltd. 144A FRB Ser. 18-4RA, Class A1A, (ICE LIBOR USD 3 Month + 1.00%), 6.563%, 4/13/31 (Cayman Islands)   249,201 247,255
Sound Point CLO IX, Ltd. 144A FRB Ser. 21-2A, Class ARRR, (CME Term SOFR 3 Month + 1.47%), 6.798%, 7/20/32 (Cayman Islands)   250,000 248,077
Sound Point CLO XXIII, Ltd. 144A FRB Ser. 21-2A, Class AR, (CME Term SOFR 3 Month + 1.43%), 6.74%, 7/15/34 (Cayman Islands)   500,000 492,557
Sound Point CLO XXV, Ltd. 144A FRB Ser. 22-4A, Class A1R, (CME Term SOFR 3 Month + 1.28%), 6.631%, 4/25/33 (Cayman Islands)   250,000 244,662
Sound Point CLO XXVI, Ltd. 144A FRB Ser. 21-1A, Class AR, (CME Term SOFR 3 Month + 1.43%), 6.758%, 7/20/34 (Cayman Islands)   322,000 317,174
Steele Creek CLO, Ltd. 144A FRB Ser. 17-1A, Class A, (CME Term SOFR 3 Month + 1.51%), 6.82%, 10/15/30 (Cayman Islands)   304,742 303,978
TCW CLO, Ltd. 144A FRB Ser. 21-2A, Class AS, (ICE LIBOR USD 3 Month + 1.18%), 6.793%, 7/25/34 (Cayman Islands)   200,000 197,614
TCW Gem CLO, Ltd. 144A FRB Ser. 23-1A, Class A1N, (CME Term SOFR 3 Month + 2.07%), 7.436%, 4/28/36 (Cayman Islands)   250,000 250,618
Trestles CLO V, Ltd. 144A FRB Ser. 21-5A, Class A1, (CME Term SOFR 3 Month + 1.43%), 6.758%, 10/20/34 (Cayman Islands)   290,000 286,799
Venture 37 CLO, Ltd. 144A FRB Ser. 21-37A, Class A1R, (CME Term SOFR 3 Month + 1.41%), 6.72%, 7/15/32 (Cayman Islands)   250,000 246,759
Venture CLO XV, Ltd. 144A FRB Ser. 21-15A, Class AR3, (CME Term SOFR 3 Month + 1.44%), 6.75%, 7/15/32 (Cayman Islands)   200,000 198,488
Venture XIX CLO, Ltd. 144A FRB Ser. 18-19A, Class ARR, (CME Term SOFR 3 Month + 1.52%), 6.83%, 1/15/32 (Cayman Islands)   250,000 247,739
Venture XXVI CLO, Ltd. 144A FRB Ser. 21-26A, Class BR, (CME Term SOFR 3 Month + 1.96%), 7.288%, 1/20/29 (Cayman Islands)   250,000 248,749
Wind River CLO, Ltd. 144A FRB Ser. 21-4A, Class A, (CME Term SOFR 3 Month + 1.43%), 6.758%, 1/20/35 (Cayman Islands)   250,000 245,530


Dynamic Asset Allocation Growth Fund 81




COLLATERALIZED LOAN OBLIGATIONS (0.8%)* cont. Principal
amount
Value
Zais CLO 17, Ltd. 144A FRB Ser. 21-17A, Class A1A, (CME Term SOFR 3 Month + 1.59%), 6.918%, 10/20/33   $395,000 $389,576
Zais CLO, Ltd. 144A FRB Ser. 19-13A, Class A1A, (CME Term SOFR 3 Month + 1.75%), 7.06%, 7/15/32   549,000 544,669
Total collateralized loan obligations (cost $16,457,587) $16,502,594

FOREIGN GOVERNMENT AND AGENCY
BONDS AND NOTES (0.4%)*
Principal
amount
Value
Benin (Republic of) sr. unsec. bonds Ser. REGS, 4.95%, 1/22/35 (Benin) EUR 300,000 $216,761
Brazil (Federal Republic of) sr. unsec. unsub. bonds 5.00%, 1/27/45 (Brazil)   $400,000 296,000
Brazil (Federal Republic of) sr. unsec. unsub. notes 3.875%, 6/12/30 (Brazil)   427,000 371,492
Chile (Republic of) sr. unsec. unsub. bonds 4.34%, 3/7/42 (Chile)   760,000 615,600
Colombia (Republic of) sr. unsec. unsub. notes 7.50%, 2/2/34 (Colombia)   370,000 349,361
Colombia (Republic of) sr. unsec. unsub. notes 4.50%, 3/15/29 (Colombia)   370,000 321,294
Cote d’lvoire (Republic of) sr. unsec. unsub. bonds Ser. REGS, 6.125%, 6/15/33 (Cote d’lvoire)   225,000 186,188
Cote d’lvoire (Republic of) sr. unsec. unsub. notes Ser. REGS, 5.375%, 7/23/24 (Cote d’lvoire)   350,000 341,688
Dominican (Republic of) sr. unsec. bonds Ser. REGS, 4.875%, 9/23/32 (Dominican Republic)   430,000 349,375
Dominican (Republic of) sr. unsec. unsub. notes Ser. REGS, 6.875%, 1/29/26 (Dominican Republic)   605,000 603,020
Dominican (Republic of) sr. unsec. unsub. notes Ser. REGS, 5.95%, 1/25/27 (Dominican Republic)   271,000 261,660
Guatemala (Republic of) 144A sr. unsec. notes 7.05%, 10/4/32 (Guatemala)   230,000 230,575
Indonesia (Republic of) sr. unsec. unsub. notes 4.65%, 9/20/32 (Indonesia)   565,000 526,656
Indonesia (Republic of) 144A sr. unsec. unsub. notes 4.35%, 1/8/27 (Indonesia)   690,000 665,050
Kazakhstan (Republic of) sr. unsec. unsub. bonds Ser. REGS, 6.50%, 7/21/45 (Kazakhstan)   300,000 304,032
Kazakhstan (Republic of) sr. unsec. unsub. bonds Ser. REGS, 4.875%, 10/14/44 (Kazakhstan)   540,000 461,446
Panama (Republic of) sr. unsec. unsub. bonds 3.298%, 1/19/33 (Panama)   490,000 382,200
Paraguay (Republic of) sr. unsec. unsub. notes Ser. REGS, 4.70%, 3/27/27 (Paraguay)   230,000 220,513
Paraguay (Republic of) 144A sr. unsec. bonds 3.849%, 6/28/33 (Paraguay)   200,000 164,250
Romania (Government of) 144A unsec. notes 3.00%, 2/27/27 (Romania)   646,000 586,525
South Africa (Republic of) sr. unsec. unsub. notes 4.85%, 9/27/27 (South Africa)   360,000 331,650
United Mexican States sr. unsec. unsub. bonds 4.28%, 8/14/41 (Mexico)   290,000 213,794


82 Dynamic Asset Allocation Growth Fund




FOREIGN GOVERNMENT AND AGENCY
BONDS AND NOTES (0.4%)*
cont.
Principal
amount
Value
United Mexican States sr. unsec. unsub. bonds 3.50%, 2/12/34 (Mexico)   $820,000 $641,164
United Mexican States sr. unsec. unsub. notes 6.338%, 5/4/53 (Mexico)   240,000 218,416
Uruguay (Oriental Republic of) sr. unsec. unsub. bonds 7.625%, 3/21/36 (Uruguay)   90,000 103,079
Total foreign government and agency bonds and notes (cost $9,935,756) $8,961,789

PURCHASED OPTIONS
OUTSTANDING (0.4%)*
Counterparty
Expiration
date/strike
Notional
amount
Contract
amount
Value
Citibank, N.A.
S&P 500 Index (Put) Dec-24/4500.00 $64,886,773 $15,132 $4,830,904
S&P 500 Index (Put) Jun-24/4500.00 64,886,773 15,132 4,032,537
Total purchased options outstanding (cost $6,160,237) $8,863,441

SENIOR LOANS (0.3%)*c Principal
amount
Value
AMC Entertainment Holdings, Inc. bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 3.00%), 8.23%, 4/22/26   $213,976 $172,032
American Airlines, Inc. bank term loan FRN (CME Term SOFR 3 Month + 4.75%), 10.338%, 4/20/28   104,500 107,531
AppleCaramel Buyer, LLC bank term loan FRN (CME Term SOFR 1 Month + 3.75%), 9.066%, 10/19/27   184,811 184,306
Ascend Learning, LLC bank term loan FRN (CME Term SOFR 1 Month + 5.75%), 10.98%, 11/18/29   160,000 135,933
Asurion, LLC bank term loan FRN Ser. B9, (CME Term SOFR 1 Month + 3.25%), 8.579%, 7/31/27   141,976 137,006
Axalta Coating Systems US Holdings, Inc. bank term loan FRN Ser. B4, (CME Term SOFR 1 Month + 2.50%), 7.90%, 12/20/29   36,808 36,836
Clear Channel Outdoor Holdings, Inc. bank term loan FRN Ser. B, (CME Term SOFR 3 Month + 3.50%), 8.81%, 8/21/26   291,967 283,085
Cloud Software Group, Inc. bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 4.50%), 9.99%, 3/30/29   69,650 66,879
CP Atlas Buyer, Inc. bank term loan FRN Ser. B1, (CME Term SOFR 1 Month + 3.75%), 8.952%, 11/23/27   261,933 246,490
CQP Holdco LP bank term loan FRN (CME Term SOFR 1 Month + 3.50%), 9.048%, 5/27/28   278,588 278,523
Crocs, Inc. bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 3.00%), 8.53%, 2/19/29   109,000 109,173
DIRECTV Financing, LLC bank term loan FRN (CME Term SOFR 3 Month + 5.00%), 10.431%, 7/22/27   182,896 178,526
Epicor Software Corp. bank term loan FRN (CME Term SOFR 1 Month + 7.75%), 12.952%, 7/31/28   120,000 120,131
Genesys Cloud Services Holdings, LLC bank term loan FRN (CME Term SOFR 3 Month + 4.00%), 9.431%, 12/1/27   180,375 180,656
HUB International, Ltd. bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 4.25%), 9.584%, 6/8/30   34,738 34,796
iHeartCommunications, Inc. bank term loan FRN (CME Term SOFR 3 Month + 3.25%), 8.681%, 5/1/26   147,114 131,446
IRB Holding Corp. bank term loan FRN (CME Term SOFR 3 Month Plus CSA + 3.00%), 8.416%, 12/15/27   172,515 171,718


Dynamic Asset Allocation Growth Fund 83




SENIOR LOANS (0.3%)*c cont. Principal
amount
Value
Klockner-Pentaplast of America, Inc. bank term loan FRN (CME Term SOFR 6 Month + 4.73%), 10.476%, 2/4/26   $186,348 $178,894
LSF11 A5 HoldCo, LLC bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 4.25%), 9.666%, 10/15/28   54,863 54,040
Madison IAQ, LLC bank term loan FRN (CME Term SOFR 1 Month + 3.25%), 8.334%, 6/15/28   184,059 180,791
MajorDrive Holdings IV, LLC bank term loan FRN (CME Term SOFR 3 Month + 4.00%), 9.298%, 6/1/28   278,294 275,338
Mattress Firm, Inc. bank term loan FRN Ser. B, (CME Term SOFR 3 Month + 4.25%), 10.146%, 9/21/28   218,267 216,239
Michaels Cos., Inc. (The) bank term loan FRN (US SOFR + 4.25%), 9.902%, 4/15/28   158,946 144,712
Neptune Bidco US, Inc. bank term loan FRN Class C, (CME Term SOFR 1 Month + 5.00%), 10.399%, 4/11/29   174,563 156,743
Nouryon USA, LLC bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 4.00%), 9.427%, 4/3/28   315,593 311,121
Nouryon USA, LLC bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 4.00%), 9.347%, 4/3/28   114,713 113,183
One Call Corp. bank term loan FRN (CME Term SOFR 3 Month + 5.50%), 10.81%, 4/22/27   130,965 104,991
PECF USS Intermediate Holding III Corp. bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 4.25%), 9.427%, 12/17/28   347,979 277,917
PetSmart, LLC bank term loan FRN Ser. B, (CME Term SOFR 1 Month + 3.75%), 9.166%, 1/29/28   463,371 461,466
Polaris Newco, LLC bank term loan FRN Ser. B, (CME Term SOFR 3 Month + 4.00%), 9.298%, 6/3/28   165,557 158,284
Proofpoint, Inc. bank term loan FRN Ser. B, (CME Term SOFR 3 Month + 6.25%), 11.56%, 8/31/29   210,000 210,197
Robertshaw US Holding Corp. bank term loan FRN (CME Term SOFR 1 Month + 8.00%), 13.49%, 2/28/27   125,000 27,500
Sabre GLBL, Inc. bank term loan FRN (CME Term SOFR 1 Month + 5.00%), 10.416%, 6/30/28   68,269 59,991
TK Elevator US Newco, Inc. bank term loan FRN (CME Term SOFR 3 Month + 3.50%), 8.871%, 7/31/27   117,621 117,268
UKG, Inc. bank term loan FRN (CME Term SOFR 3 Month + 5.25%), 10.56%, 5/3/27   155,000 154,613
United Airlines, Inc. bank term loan FRN Ser. B, (CME Term SOFR 3 Month + 3.75%), 9.182%, 4/21/28   178,485 178,526
Vertiv Group Corp. bank term loan FRN Ser. B, (CME Term SOFR 3 Month + 2.75%), 8.192%, 3/2/27   386,882 386,054
VM Consolidated, Inc. bank term loan FRN (CME Term SOFR 1 Month + 3.25%), 8.681%, 3/19/28   233,684 233,567
Total senior loans (cost $6,794,770) $6,576,502

ASSET-BACKED SECURITIES (0.1%)* Principal
amount
Value
NewRez Warehouse Securitization Trust 144A FRB Ser. 21-1, Class A, (CME Term SOFR 1 Month + 0.86%), 6.184%, 5/7/24   $506,133 $503,748
Station Place Securitization Trust 144A FRB Ser. 23-2, Class A1, (CME Term SOFR 1 Month + 0.95%), 6.27%, 6/29/24   585,000 584,897
Towd Point Asset Trust 144A FRB Ser. 18-SL1, Class A, (CME Term SOFR 1 Month + 0.71%), 6.034%, 1/25/46   82,536 82,195
Total asset-backed securities (cost $1,171,235) $1,170,840


84 Dynamic Asset Allocation Growth Fund




INVESTMENT COMPANIES (—%)* Shares Value
iShares Core MSCI Emerging Markets ETF 8,617 $410,083
Total investment companies (cost $420,277) $410,083

CONVERTIBLE BONDS AND NOTES (—%)* Principal
amount
Value
DISH Network Corp. cv. sr. unsec. notes 3.375%, 8/15/26   $125,000 $75,125
Nabors Industries, Inc. 144A company guaranty cv. sr. unsec. unsub. notes 1.75%, 6/15/29   130,000 114,335
Realogy Group, LLC/Realogy Co-Issuer Corp. company guaranty cv. sr. unsec. notes 0.25%, 6/15/26   230,000 174,800
Total convertible bonds and notes (cost $427,387) $364,260

CONVERTIBLE PREFERRED STOCKS (—%)* Shares Value
Apollo Global Management, Inc. $3.38 cv. pfd. 4,441 $244,699
Total convertible preferred stocks (cost $222,050) $244,699

SHORT-TERM INVESTMENTS (5.8%)* Principal amount/
shares
Value
Putnam Short Term Investment Fund Class P 5.57% L Shares 99,114,684 $99,114,684
State Street Institutional U.S. Government Money Market Fund, Premier Class 5.29% P Shares 10,603,000 10,603,000
U.S. Treasury Bills 4.985%, 11/2/23 # ∆ Φ $8,151,000 8,113,870
U.S. Treasury Bills 5.239%, 10/26/23 7,511,000 7,484,545
U.S. Treasury Bills 5.317%, 11/9/23 # ∆ Φ 1,700,000 1,690,498
Total short-term investments (cost $127,009,227) $127,006,597

TOTAL INVESTMENTS
Total investments (cost $1,872,185,304) $2,278,957,919

Key to holding’s currency abbreviations
EUR Euro
Key to holding’s abbreviations
ADR American Depository Receipts: Represents ownership of foreign securities on deposit with a custodian bank.
BKNT Bank Note
bp Basis Points
CME Chicago Mercantile Exchange
DAC Designated Activity Company
ETF Exchange Traded Fund
FRB Floating Rate Bonds: The rate shown is the current interest rate at the close of the reporting period. Rates may be subject to a cap or floor. For certain securities, the rate may represent a fixed rate currently in place at the close of the reporting period.
FRN Floating Rate Notes: The rate shown is the current interest rate or yield at the close of the reporting period. Rates may be subject to a cap or floor. For certain securities, the rate may represent a fixed rate currently in place at the close of the reporting period.
GMTN Global Medium Term Notes
ICE Intercontinental Exchange


Dynamic Asset Allocation Growth Fund 85




IFB Inverse Floating Rate Bonds, which are securities that pay interest rates that vary inversely to changes in the market interest rates. As interest rates rise, inverse floaters produce less current income. The rate shown is the current interest rate at the close of the reporting period. Rates may be subject to a cap or floor.
IO Interest Only
JSC Joint Stock Company
LIBOR London Interbank Offered Rate
MTN Medium Term Notes
OTC Over-the-counter
PJSC Public Joint Stock Company
PO Principal Only
REGS Securities sold under Regulation S may not be offered, sold or delivered within the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933.
REMICs Real Estate Mortgage Investment Conduits
SOFR Secured Overnight Financing Rate
TBA To Be Announced Commitments
Notes to the fund’s portfolio
Unless noted otherwise, the notes to the fund’s portfolio are for the close of the fund’s reporting period, which ran from October 1, 2022 through September 30, 2023 (the reporting period). Within the following notes to the portfolio, references to “Putnam Management” represent Putnam Investment Management, LLC, the fund’s manager, an indirect wholly-owned subsidiary of Putnam Investments, LLC and references to “ASC 820” represent Accounting Standards Codification 820 Fair Value Measurements and Disclosures.
* Percentages indicated are based on net assets of $2,189,605,676.
This security is non-income-producing.
‡‡ Income may be received in cash or additional securities at the discretion of the issuer. The rate shown in parenthesis is the rate paid in kind, if applicable.
# This security, in part or in entirety, was pledged and segregated with the broker to cover margin requirements for futures contracts at the close of the reporting period. Collateral at period end totaled $5,158,348 and is included in Investments in securities on the Statement of assets and liabilities (Notes 1 and 9).
This security, in part or in entirety, was pledged and segregated with the custodian for collateral on certain derivative contracts at the close of the reporting period. Collateral at period end totaled $483,044 and is included in Investments in securities on the Statement of assets and liabilities (Notes 1 and 9).
Φ This security, in part or in entirety, was pledged and segregated with the custodian for collateral on certain TBA commitments at the close of the reporting period. Collateral at period end totaled $569,519 and is included in Investments in securities on the Statement of assets and liabilities (Notes 1 and 9).
## Forward commitment, in part or in entirety (Note 1).
c Senior loans are exempt from registration under the Securities Act of 1933, as amended, but contain certain restrictions on resale and cannot be sold publicly. These loans pay interest at rates which adjust periodically. The interest rates shown for senior loans are the current interest rates at the close of the reporting period. Senior loans are also subject to mandatory and/or optional prepayment which cannot be predicted. As a result, the remaining maturity may be substantially less than the stated maturity shown (Notes 1 and 7).
F This security is valued by Putnam Management at fair value following procedures approved by the Trustees. Securities are classified as Level 3 for ASC 820 based on the securities’ valuation inputs. At the close of the reporting period, fair value pricing was also used for certain foreign securities in the portfolio (Note 1).
i This security was pledged, or purchased with cash that was pledged, to the fund for collateral on certain derivative contracts (Note 1).
L Affiliated company (Note 5). The rate quoted in the security description is the annualized 7-day yield of the fund at the close of the reporting period.


86 Dynamic Asset Allocation Growth Fund




P This security was pledged, or purchased with cash that was pledged, to the fund for collateral on certain derivative contracts. The rate quoted in the security description is the annualized 7-day yield of the fund at the close of the reporting period.
R Real Estate Investment Trust.
W The rate shown represents the weighted average coupon associated with the underlying mortgage pools. Rates may be subject to a cap or floor.
Unless otherwise noted, the rates quoted in Short-term investments security descriptions represent the weighted average yield to maturity.
Debt obligations are considered secured unless otherwise indicated.
144A after the name of an issuer represents securities exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers.
See Note 1 to the financial statements regarding TBA commitments.
The dates shown on debt obligations are the original maturity dates.

DIVERSIFICATION BY COUNTRY
Distribution of investments by country of risk at the close of the reporting period, excluding collateral received, if any (as a percentage of Portfolio Value):
United States 78.7% Cayman Islands 0.7%
Japan 3.1 Netherlands 0.7
United Kingdom 2.9 Ireland 0.7
France 2.5 Spain 0.6
Switzerland 1.1 Italy 0.5
Germany 1.0 Taiwan 0.5
Australia 0.8 Denmark 0.5
Canada 0.8 Indonesia 0.5
India 0.8 Other 2.8
China 0.8 Total 100.0%


FORWARD CURRENCY CONTRACTS at 9/30/23 (aggregate face value $114,404,355)
Counterparty Currency Contract
type*
Delivery
date
Value Aggregate
face value
Unrealized
appreciation/
(depreciation)
Bank of America N.A.
British Pound Sell 12/20/23 $7,382,934 $7,538,311 $155,377
Canadian Dollar Sell 10/18/23 1,910,579 1,957,264 46,685
New Taiwan Dollar Buy 11/15/23 4,964,626 5,066,472 (101,846)
Singapore Dollar Buy 11/15/23 552,406 564,609 (12,203)
Citibank, N.A.
British Pound Sell 12/20/23 5,876,389 5,997,157 120,768
Hong Kong Dollar Buy 11/15/23 371,907 373,369 (1,462)
Goldman Sachs International
Chinese Yuan (Offshore) Buy 11/15/23 6,998,366 7,150,912 (152,546)
Euro Sell 12/20/23 153,439 156,070 2,631
HSBC Bank USA, National Association
Chinese Yuan (Offshore) Buy 11/15/23 5,980,651 6,112,643 (131,992)


Dynamic Asset Allocation Growth Fund 87




FORWARD CURRENCY CONTRACTS at 9/30/23 (aggregate face value $114,404,355) cont.
Counterparty Currency Contract
type*
Delivery
date
Value Aggregate
face value
Unrealized
appreciation/
(depreciation)
JPMorgan Chase Bank N.A.
Euro Sell 12/20/23 $110,782 $112,680 $1,898
Norwegian Krone Sell 12/20/23 538,259 537,835 (424)
South Korean Won Buy 11/15/23 5,488,785 5,709,909 (221,124)
Swedish Krona Buy 12/20/23 2,855,019 2,812,511 42,508
Morgan Stanley & Co. International PLC
British Pound Sell 12/20/23 2,098,249 2,175,419 77,170
Euro Sell 12/20/23 9,593,960 9,767,588 173,628
Japanese Yen Buy 11/15/23 4,755,400 4,834,385 (78,985)
Swedish Krona Buy 12/20/23 3,994,361 3,936,189 58,172
NatWest Markets PLC
Canadian Dollar Sell 10/18/23 6,764,902 6,928,710 163,808
Euro Sell 12/20/23 6,550,438 6,663,028 112,590
State Street Bank and Trust Co.
Australian Dollar Buy 10/18/23 2,459,053 2,543,852 (84,799)
Chinese Yuan (Offshore) Buy 11/15/23 2,477,518 2,532,017 (54,499)
Danish Krone Buy 12/20/23 2,253,281 2,292,292 (39,011)
Euro Sell 12/20/23 7,285,374 7,409,614 124,240
Swiss Franc Buy 12/20/23 5,002,763 5,158,552 (155,789)
UBS AG
British Pound Sell 12/20/23 838,787 856,120 17,333
Euro Sell 12/20/23 88,498 89,808 1,310
WestPac Banking Corp.
Euro Sell 12/20/23 7,957,279 8,093,113 135,834
Japanese Yen Sell 11/15/23 6,673,583 7,033,926 360,343
Unrealized appreciation 1,594,295
Unrealized (depreciation) (1,034,680)
Total $559,615
* The exchange currency for all contracts listed is the United States Dollar.

FUTURES CONTRACTS OUTSTANDING at 9/30/23
Number of
contracts
Notional
amount
Value Expiration
date
Unrealized
appreciation/
(depreciation)
MSCI EAFE Index (Long) 235 $23,867,305 $23,987,625 Dec-23 $(783,032)
Russell 2000 Index E-Mini (Long) 8 714,041 719,440 Dec-23 (29,527)
S&P 500 Index E-Mini (Long) 2 428,805 432,550 Dec-23 (18,601)
S&P 500 Index E-Mini (Short) 141 30,230,753 30,494,775 Dec-23 1,308,914
S&P Mid Cap 400 Index E-Mini (Long) 1 250,212 252,040 Dec-23 (8,112)
U.S. Treasury Bond 30 yr (Long) 129 14,677,781 14,677,781 Dec-23 (835,767)
U.S. Treasury Bond Ultra 30 yr (Long) 148 17,565,750 17,565,750 Dec-23 (1,309,957)
U.S. Treasury Bond Ultra 30 yr (Short) 6 712,125 712,125 Dec-23 53,299
U.S. Treasury Note 2 yr (Long) 220 44,596,406 44,596,406 Dec-23 (160,753)
U.S. Treasury Note 5 yr (Long) 392 41,300,875 41,300,875 Dec-23 (347,476)
U.S. Treasury Note 5 yr (Short) 27 2,844,703 2,844,703 Dec-23 23,775


88 Dynamic Asset Allocation Growth Fund




FUTURES CONTRACTS OUTSTANDING at 9/30/23 cont.
Number of
contracts
Notional
amount
Value Expiration
date
Unrealized
appreciation/
(depreciation)
U.S. Treasury Note 10 yr (Long) 230 $24,854,375 $24,854,375 Dec-23 $(440,314)
U.S. Treasury Note Ultra 10 yr (Long) 6 669,375 669,375 Dec-23 (20,029)
Unrealized appreciation 1,385,988
Unrealized (depreciation) (3,953,568)
Total $(2,567,580)

WRITTEN OPTIONS OUTSTANDING at 9/30/23 (premiums $1,108,419)
Counterparty Expiration
date/strike
Notional
amount
Contract
amount
Value
Citibank, N.A.
S&P 500 Index (Put) Dec-24/3500.00 $64,886,773   $15,132 $1,362,672
Total $1,362,672

TBA SALE COMMITMENTS OUTSTANDING at 9/30/23 (proceeds receivable $13,908,477)
Agency Principal
amount
Settlement
date
Value
Uniform Mortgage-Backed Securities, 5.50%, 10/1/53 $5,000,000 10/12/23 $4,832,815
Uniform Mortgage-Backed Securities, 4.50%, 10/1/53 4,000,000 10/12/23 3,673,280
Uniform Mortgage-Backed Securities, 4.00%, 10/1/53 3,000,000 10/12/23 2,671,873
Uniform Mortgage-Backed Securities, 3.00%, 10/1/53 3,000,000 10/12/23 2,480,275
Total $13,658,243

CENTRALLY CLEARED INTEREST RATE SWAP CONTRACTS OUTSTANDING at 9/30/23
Notional amount Value Upfront
premium
received
(paid)
Termination
date
Payments
made by fund
Payments
received by fund
Unrealized
appreciation/
(depreciation)
  $76,643,000 $14,562 E $(57,404) 12/20/25 4.80% — Annually US SOFR — Annually $(42,842)
  21,490,000 4,083 E 16,197 12/20/25 US SOFR — Annually 4.80% — Annually 12,113
  22,302,000 87,201 E 93,492 12/20/28 4.40% — Annually US SOFR — Annually 6,292
  24,695,000 470,687 E (398,458) 12/20/33 4.00% — Annually US SOFR — Annually 72,230
  12,758,000 243,167 E 205,448 12/20/33 US SOFR — Annually 4.00% — Annually (37,720)
  5,830,000 380,058 E 344,786 12/20/53 US SOFR — Annually 3.60% — Annually (35,272)
  562,000 5,047 (19) 9/28/53 3.957% — Annually US SOFR — Annually 5,091
Total $204,042 $(20,108)
E Extended effective date.


Dynamic Asset Allocation Growth Fund 89




OTC TOTAL RETURN SWAP CONTRACTS OUTSTANDING at 9/30/23
Swap counterparty/
Notional amount
Value Upfront
premium
received
(paid)
Termination
date
Payments
received (paid)
by fund
Total return
received by
or paid by fund
Unrealized
appreciation/
(depreciation)
Barclays Bank PLC
  $72,852,762 $70,284,997 $— 9/13/24 (US SOFR plus 0.40%) — Monthly A basket (BCPUDEAL) of common stocks — Monthly* $(2,608,036)
  72,838,415 69,909,904 9/13/24 US SOFR plus 0.25% — Monthly A basket (BCPUDEAS) of common stocks — Monthly* 3,035,200
Goldman Sachs International
  127,113,746 126,834,422 12/15/25 (US SOFR plus 0.40%) — Monthly A basket (GSGLPWDL) of common stocks — Monthly* (279,324)
  118,232,414 118,000,908 12/15/25 US SOFR minus 0.25% — Monthly A basket (GSGLPWDS) of common stocks — Monthly* 231,507
Upfront premium received Unrealized appreciation 3,266,707
Upfront premium (paid) Unrealized (depreciation) (2,887,360)
Total $— Total $379,347
* The 50 largest components, and any individual component greater than 1% of basket value, are shown below.

A BASKET (BCPUDEAL) OF COMMON STOCKS
Common stocks Sector Shares Value Percentage
value
Textron, Inc. Capital goods 11,779 $920,426 1.31%
Targa Resources Corp. Energy 10,691 916,456 1.30%
Constellation Energy Corp. Utilities and power 8,395 915,689 1.30%
Unum Group Financials 18,592 914,565 1.30%
Allison Transmission Holdings, Inc. Capital goods 15,310 904,197 1.29%
Manhattan Associates, Inc. Technology 4,573 903,845 1.29%
Vertiv Holdings Co. Capital goods 24,211 900,631 1.28%
Marathon Oil Corp. Energy 33,572 898,038 1.28%
Pinterest, Inc. Class A Technology 32,680 883,345 1.26%
O’Reilly Automotive, Inc. Consumer cyclicals 972 883,287 1.26%
Booking Holdings, Inc. Consumer cyclicals 284 876,510 1.25%
ON Semiconductor Corp. Technology 9,410 874,654 1.24%
Uber Technologies, Inc. Consumer staples 19,007 874,131 1.24%
Valero Energy Corp. Energy 6,165 873,661 1.24%
Penske Automotive Group, Inc. Consumer cyclicals 5,166 862,971 1.23%
MGIC Investment Corp. Financials 51,132 853,395 1.21%
Procore Technologies, Inc. Technology 12,978 847,751 1.21%
Pure Storage, Inc. Class A Technology 23,787 847,277 1.21%
Toll Brothers, Inc. Consumer cyclicals 11,388 842,228 1.20%
Cadence Design Systems, Inc. Technology 3,592 841,648 1.20%


90 Dynamic Asset Allocation Growth Fund




A BASKET (BCPUDEAL) OF COMMON STOCKS cont.
Common stocks Sector Shares Value Percentage
value
Synopsys, Inc. Technology 1,823 $836,672 1.19%
Gartner, Inc. Consumer cyclicals 2,420 831,463 1.18%
Smartsheet, Inc. Class A Technology 20,537 830,928 1.18%
Vornado Realty Trust Financials 36,201 821,027 1.17%
Applied Materials, Inc. Technology 5,914 818,803 1.16%
Jacobs Solutions, Inc. Capital goods 5,987 817,293 1.16%
American International Group, Inc. Financials 13,321 807,257 1.15%
Autonation, Inc. Consumer cyclicals 5,242 793,672 1.13%
General Motors Co. Consumer cyclicals 22,924 755,819 1.08%
MGM Resorts International Consumer cyclicals 19,972 734,161 1.04%
General Dynamics Corp. Capital goods 3,296 728,344 1.04%
Live Nation Entertainment, Inc. Consumer cyclicals 8,656 718,792 1.02%
Freeport-McMoRan, Inc. (Indonesia) Basic materials 19,213 716,454 1.02%
NVR, Inc. Consumer cyclicals 120 715,611 1.02%
NRG Energy, Inc. Utilities and power 18,465 711,256 1.01%
Johnson Controls International PLC Capital goods 13,079 695,918 0.99%
Genuine Parts Co. Consumer cyclicals 4,811 694,634 0.99%
Expedia Group, Inc. Consumer cyclicals 6,724 693,052 0.99%
Apartment Income REIT Corp. Financials 21,777 668,563 0.95%
Molina Healthcare, Inc. Health care 2,003 656,743 0.93%
Wintrust Financial Corp. Financials 8,696 656,566 0.93%
Hologic, Inc. Health care 9,352 649,050 0.92%
WestRock Co. Basic materials 18,065 646,731 0.92%
Regeneron Pharmaceuticals, Inc. Health care 773 636,075 0.90%
Equitable Holdings, Inc. Financials 22,345 634,373 0.90%
Boyd Gaming Corp. Consumer cyclicals 10,052 611,450 0.87%
Ulta Beauty, Inc. Consumer staples 1,521 607,702 0.86%
Roku, Inc. Technology 8,374 591,129 0.84%
East West Bancorp, Inc. Financials 11,153 587,882 0.84%
Coinbase Global, Inc. Class A Financials 7,825 587,533 0.84%

A BASKET (BCPUDEAS) OF COMMON STOCKS
Common stocks Sector Shares Value Percentage
value
BWX Technologies, Inc. Capital goods 12,412 $930,641 1.33%
New Fortress Energy, Inc. Energy 28,215 924,896 1.32%
Jack Henry & Associates, Inc. Technology 5,953 899,696 1.29%
DT Midstream, Inc. Energy 16,611 879,039 1.26%
IBM Corp. Technology 6,226 873,499 1.25%
Berkshire Hathaway, Inc. Class B Financials 2,477 867,526 1.24%
Tesla, Inc. Consumer cyclicals 3,405 852,102 1.22%
Lithia Motors, Inc. Consumer cyclicals 2,881 850,941 1.22%
Healthcare Realty Trust, Inc. Financials 55,672 850,119 1.22%
Take-Two Interactive Software, Inc. Technology 6,028 846,292 1.21%
Bunge, Ltd. Consumer staples 7,760 839,989 1.20%


Dynamic Asset Allocation Growth Fund 91




A BASKET (BCPUDEAS) OF COMMON STOCKS cont.
Common stocks Sector Shares Value Percentage
value
New York Community Bancorp, Inc. Financials 73,274 $830,923 1.19%
NortonLifeLock, Inc. Technology 46,731 826,212 1.18%
Royal Caribbean Cruises, Ltd. Consumer cyclicals 8,810 811,772 1.16%
General Electric Co. Conglomerates 7,196 795,475 1.14%
TD SYNNEX Corp. Technology 7,777 776,576 1.11%
agilon health, Inc. Health care 43,542 773,298 1.11%
Stanley Black & Decker, Inc. Consumer cyclicals 9,181 767,360 1.10%
Tyler Technologies, Inc. Technology 1,984 766,097 1.10%
RPM International, Inc. Basic materials 8,037 761,966 1.09%
Ciena Corp. Technology 16,094 760,617 1.09%
Floor & Decor Holdings, Inc. Class A Consumer cyclicals 8,399 760,131 1.09%
Ross Stores, Inc. Consumer cyclicals 6,651 751,202 1.07%
Paramount Global Class B Consumer cyclicals 58,102 749,517 1.07%
Cabot Oil & Gas Corp. Energy 27,438 742,198 1.06%
Amdocs, Ltd. Technology 8,620 728,313 1.04%
Domino’s Pizza, Inc. Consumer staples 1,915 725,570 1.04%
D.R. Horton, Inc. Consumer cyclicals 6,718 721,951 1.03%
Welltower, Inc. Financials 8,803 721,164 1.03%
Ball Corp. Capital goods 14,479 720,763 1.03%
Texas Instruments, Inc. Technology 4,491 714,038 1.02%
Equifax, Inc. Consumer cyclicals 3,858 706,695 1.01%
Thor Industries, Inc. Consumer cyclicals 7,333 697,550 1.00%
Digital Realty Trust, Inc. Financials 5,735 694,043 0.99%
T Rowe Price Group, Inc. Financials 6,520 683,744 0.98%
Cooper Cos., Inc. (The) Health care 2,126 676,204 0.97%
Norwegian Cruise Line Holdings, Ltd. Consumer cyclicals 40,377 665,413 0.95%
Wynn Resorts, Ltd. Consumer cyclicals 7,177 663,240 0.95%
Exact Sciences Corp. Health care 9,581 653,585 0.93%
DoubleVerify Holdings, Inc. Technology 23,351 652,674 0.93%
Polaris, Inc. Consumer cyclicals 6,262 652,136 0.93%
Five Below, Inc. Consumer cyclicals 4,051 651,821 0.93%
Carnival Corp. Consumer cyclicals 47,112 646,382 0.92%
Watsco, Inc. Consumer staples 1,705 643,873 0.92%
Ovintiv, Inc. Energy 13,436 639,159 0.91%
BioMarin Pharmaceutical, Inc. Health care 7,199 637,008 0.91%
Universal Health Services, Inc. Class B Health care 5,015 630,584 0.90%
PTC, Inc. Technology 4,277 606,015 0.87%
Prudential Financial, Inc. Financials 6,352 602,755 0.86%
Liberty Broadband Corp. Class C Communication services 6,586 601,443 0.86%

A BASKET (GSGLPWDL) OF COMMON STOCKS
Common stocks Sector Shares Value Percentage
value
Norsk Hydro ASA (Norway) Energy 103,476 $653,483 0.52%
Clariant AG (Switzerland) Basic materials 40,738 645,715 0.51%


92 Dynamic Asset Allocation Growth Fund



A BASKET (GSGLPWDL) OF COMMON STOCKS cont.
Common stocks Sector Shares Value Percentage
value
RWE AG (Germany) Utilities and power 17,252 $642,049 0.51%
Aristocrat Leisure, Ltd. (Australia) Consumer cyclicals 24,244 639,173 0.50%
E.ON SE (Germany) Utilities and power 53,869 638,780 0.50%
3M Co. Conglomerates 6,817 638,191 0.50%
Tokyo Gas Co., Ltd. (Japan) Utilities and power 27,974 635,694 0.50%
Holcim AG (Switzerland) Basic materials 9,892 635,613 0.50%
Electronic Arts, Inc. Technology 5,274 634,992 0.50%
SSE PLC (United Kingdom) Utilities and power 32,310 634,919 0.50%
Iberdrola SA (Spain) Utilities and power 56,567 634,543 0.50%
PepsiCo, Inc. Consumer staples 3,744 634,327 0.50%
ArcelorMittal SA (France) Basic materials 25,189 634,049 0.50%
Endesa SA (Spain) Utilities and power 31,042 633,478 0.50%
Weyerhaeuser Co. Basic materials 20,655 633,286 0.50%
Carlsberg A/S Class B (Denmark) Consumer staples 4,997 632,491 0.50%
Amadeus IT Holding SA (Spain) Consumer cyclicals 10,427 632,328 0.50%
Leidos Holdings, Inc. Technology 6,855 631,781 0.50%
SS&C Technologies Holdings, Inc. Technology 12,012 631,121 0.50%
Colgate-Palmolive Co. Consumer staples 8,873 630,947 0.50%
SEI Investments Co. Financials 10,466 630,378 0.50%
Osaka Gas Co., Ltd. (Japan) Utilities and power 38,140 629,260 0.50%
NetApp, Inc. Technology 8,285 628,685 0.50%
Repsol SA (Spain) Energy 38,132 628,598 0.50%
Automatic Data Processing, Inc. Consumer cyclicals 2,603 626,321 0.49%
Sekisui Chemical Co., Ltd. (Japan) Financials 43,347 625,406 0.49%
Deutsche Telekom AG (Germany) Communication services 29,710 624,961 0.49%
Central Japan Railway Co. (Japan) Transportation 25,632 624,383 0.49%
Toppan, Inc. (Japan) Consumer cyclicals 26,016 623,268 0.49%
Globe Life, Inc. Financials 5,726 622,550 0.49%
Chevron Corp. Energy 3,684 621,235 0.49%
Consolidated Edison, Inc. Utilities and power 7,263 621,184 0.49%
Exxon Mobil Corp. Energy 5,269 619,491 0.49%
Phillips 66 Energy 5,143 617,937 0.49%
ConocoPhillips Energy 5,087 609,401 0.48%
Rio Tinto, Ltd. (Australia) Basic materials 8,251 604,708 0.48%
Canadian Utilities, Ltd. Class A (Canada) Utilities and power 28,433 603,568 0.48%
Fairfax Financial Holdings, Ltd. (Canada) Financials 731 599,790 0.47%
George weston, Ltd. (Canada) Consumer staples 5,379 599,290 0.47%
Smiths Group PLC (United Kingdom) Capital goods 30,278 598,503 0.47%
Elisa Oyj (Finland) Communication services 12,763 593,084 0.47%
Arkema SA (France) Basic materials 5,980 592,370 0.47%
Hershey Co. (The) Consumer staples 2,947 589,670 0.46%
Recruit Holdings Co., Ltd. (Japan) Consumer staples 19,030 587,768 0.46%
Secom Co., Ltd. (Japan) Consumer cyclicals 8,468 575,398 0.45%
FactSet Research Systems, Inc. Consumer cyclicals 1,310 572,989 0.45%


Dynamic Asset Allocation Growth Fund 93




A BASKET (GSGLPWDL) OF COMMON STOCKS cont.
Common stocks Sector Shares Value Percentage
value
TE Connectivity, Ltd. Technology 4,637 $572,804 0.45%
Alphabet, Inc. Class A Technology 4,347 568,790 0.45%
Mondi PLC (Austria) Basic materials 33,653 563,753 0.44%
Oversea-Chinese Banking Corp., Ltd. (Singapore) Financials 59,651 559,842 0.44%

A BASKET (GSGLPWDS) OF COMMON STOCKS
Common stocks Sector Shares Value Percentage
value
Cellnex Telecom, SA 144A (Spain) Communication services 17,101 $596,962 0.51%
Magna International, Inc. (Canada) Consumer cyclicals 11,082 596,635 0.51%
WEC Energy Group, Inc. Utilities and power 7,383 594,676 0.50%
Straumann Holding AG (Switzerland) Health care 4,637 594,112 0.50%
Heineken NV (Netherlands) Consumer staples 6,721 593,929 0.50%
Kering SA (France) Consumer cyclicals 1,298 593,357 0.50%
Commonwealth Bank of Australia (Australia) Financials 9,149 590,323 0.50%
CMS Energy Corp. Utilities and power 11,112 590,146 0.50%
REA Group, Ltd. (Australia) Technology 5,917 589,370 0.50%
Wilmar International, Ltd. (Singapore) Basic materials 215,630 589,273 0.50%
Orange SA (France) Communication services 51,241 589,172 0.50%
Equifax, Inc. Consumer cyclicals 3,216 589,149 0.50%
T-Mobile US, Inc. Communication services 4,203 588,598 0.50%
Realty Income Corp. Financials 11,783 588,425 0.50%
Ingersoll Rand, Inc. Capital goods 9,203 586,422 0.50%
TransUnion Consumer cyclicals 8,164 586,060 0.50%
Keppel Corp., Ltd. (Singapore) Capital goods 117,616 585,969 0.50%
Southwest Airlines Co. Transportation 21,594 584,549 0.50%
Visa, Inc. Class A Financials 2,538 583,822 0.49%
Toyota Motor Corp. (Japan) Consumer cyclicals 32,366 580,737 0.49%
Public Service Enterprise Group, Inc. Utilities and power 10,198 580,379 0.49%
Aeon Co., Ltd. (Japan) Consumer cyclicals 29,185 579,388 0.49%
Davide Campari-Milano NV (Italy) Consumer staples 48,891 577,940 0.49%
Bunge, Ltd. Consumer staples 5,311 574,919 0.49%
Westlake Corp. Basic materials 4,572 570,015 0.48%
DuPont de Nemours, Inc. Basic materials 7,558 563,736 0.48%
Oriental Land Co., Ltd. (Japan) Consumer cyclicals 16,912 556,353 0.47%
Pernod Ricard SA (France) Consumer staples 3,318 554,459 0.47%
London Stock Exchange Group PLC (United Kingdom) Financials 5,514 554,182 0.47%
Telus Corp. (Canada) Communication services 33,027 541,815 0.46%
Duke Energy Corp. Utilities and power 6,134 541,375 0.46%
Takeda Pharmaceutical Co., Ltd. (Japan) Health care 17,130 532,765 0.45%
SIG Combibloc Group AG (Switzerland) Basic materials 21,507 532,262 0.45%
Entegris, Inc. Technology 5,509 517,342 0.44%


94 Dynamic Asset Allocation Growth Fund




A BASKET (GSGLPWDS) OF COMMON STOCKS cont.
Common stocks Sector Shares Value Percentage
value
Atmos Energy Corp. Utilities and power 4,852 $514,002 0.44%
Nokia Oyj (Finland) Technology 135,310 511,149 0.43%
RELX PLC (United Kingdom) Consumer cyclicals 15,022 508,799 0.43%
PG&E Corp. Utilities and power 31,449 507,268 0.43%
CenterPoint Energy, Inc. Utilities and power 18,802 504,842 0.43%
Waste Connections, Inc. Capital goods 3,743 502,631 0.43%
Williams Cos., Inc. (The) Energy 14,650 493,549 0.42%
CGI Group, Inc. Class A (Canada) Technology 4,965 491,662 0.42%
Ferrovial SE (Netherlands) Basic materials 15,911 488,034 0.41%
CRH PLC (Ireland) Basic materials 8,780 486,737 0.41%
Honeywell International, Inc. Capital goods 2,607 481,605 0.41%
Imperial Brands PLC (United Kingdom) Consumer staples 23,546 479,081 0.41%
TransDigm Group, Inc. Capital goods 565 476,205 0.40%
Masco Corp. Consumer cyclicals 8,868 473,987 0.40%
Berkshire Hathaway, Inc. Class B Financials 1,345 471,129 0.40%
Diamondback Energy, Inc. Energy 3,035 470,018 0.40%

OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 9/30/23
Swap counterparty/
Referenced debt*
Rating*** Upfront
premium
received
(paid)**
Notional
amount
Value Termi-
nation
date
Payments
received
by fund
Unrealized
appreciation/
(depreciation)
Bank of America N.A.
CMBX NA BBB−.6 Index BB+/P $62   $489 $71 5/11/63 300 bp — Monthly $(9)
Citigroup Global Markets, Inc.
CMBX NA BB.11 Index BB−/P 33,900   60,000 22,842 11/18/54 500 bp — Monthly 11,108
CMBX NA BB.6 Index B/P 39,593   164,872 52,347 5/11/63 500 bp — Monthly (12,617)
CMBX NA BB.7 Index B-/P 22,506   431,054 158,154 1/17/47 500 bp — Monthly (135,288)
CMBX NA BB.9 Index B/P 814   4,000 1,584 9/17/58 500 bp — Monthly (766)
CMBX NA BB.9 Index B/P 9,598   47,000 18,607 9/17/58 500 bp — Monthly (8,970)
CMBX NA BBB−.10 Index BB+/P 3,722   30,000 8,286 11/17/59 300 bp — Monthly (4,549)
CMBX NA BBB−.10 Index BB+/P 4,364   40,000 11,048 11/17/59 300 bp — Monthly (6,664)
Credit Suisse International
CMBX NA A.7 Index BBB+/P 3,286   57,346 4,502 1/17/47 200 bp — Monthly (1,196)
CMBX NA BB.7 Index B-/P 10,567   77,218 28,331 1/17/47 500 bp — Monthly (17,700)
CMBX NA BBB−.7 Index BB/P 6,165   67,489 12,823 1/17/47 300 bp — Monthly (6,624)


Dynamic Asset Allocation Growth Fund 95




OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 9/30/23 cont.
Swap counterparty/
Referenced debt*
Rating*** Upfront
premium
received
(paid)**
Notional
amount
Value Termi-
nation
date
Payments
received
by fund
Unrealized
appreciation/
(depreciation)
Goldman Sachs International
CMBX NA A.6 Index A+/P $101   $594 $95 5/11/63 200 bp — Monthly $6
CMBX NA A.6 Index A+/P 15   594 95 5/11/63 200 bp — Monthly (80)
CMBX NA A.6 Index A+/P 394   1,782 286 5/11/63 200 bp — Monthly 109
CMBX NA A.6 Index A+/P 2,494   6,236 1,000 5/11/63 200 bp — Monthly 1,496
CMBX NA A.6 Index A+/P 711   6,830 1,096 5/11/63 200 bp — Monthly (382)
CMBX NA A.6 Index A+/P (201)   7,424 1,191 5/11/63 200 bp — Monthly (1,389)
CMBX NA BBB−.14 Index BBB−/P 315   7,000 1,691 12/16/72 300 bp — Monthly (1,373)
CMBX NA BBB−.7 Index BB/P 30,086   330,521 62,799 1/17/47 300 bp — Monthly (32,548)
JPMorgan Securities LLC
CMBX NA A.7 Index BBB+/P 7,192   119,047 9,345 1/17/47 200 bp — Monthly (2,114)
CMBX NA BB.10 Index B/P 4,092   51,000 22,838 5/11/63 500 bp — Monthly (18,703)
CMBX NA BB.6 Index B/P 4,633   5,376 1,707 5/11/63 500 bp — Monthly 2,931
CMBX NA BBB−.8 Index BB−/P 3,431   22,000 4,187 10/17/57 300 bp — Monthly (745)
Morgan Stanley & Co. International PLC
CMBX NA A.13 Index A-/P (1,074)   72,000 7,438 12/16/72 200 bp — Monthly (8,487)
CMBX NA A.6 Index A+/P 3,018   10,097 1,620 5/11/63 200 bp — Monthly 1,401
CMBX NA BB.6 Index B/P 18,418   44,802 14,225 5/11/63 500 bp — Monthly 4,231
CMBX NA BB.6 Index B/P 36,962   89,604 28,449 5/11/63 500 bp — Monthly 8,587
Upfront premium received 246,439 Unrealized appreciation 29,869
Upfront premium (paid) (1,275) Unrealized (depreciation) (260,204)
Total $245,164 Total $(230,335)
* Payments related to the referenced debt are made upon a credit default event.
** Upfront premium is based on the difference between the original spread on issue and the market spread on day of execution.
*** Ratings for an underlying index represent the average of the ratings of all the securities included in that index. The Moody’s, Standard & Poor’s or Fitch ratings are believed to be the most recent ratings available at September 30, 2023. Securities rated by Putnam are indicated by “/P.” The Putnam rating categories are comparable to the Standard & Poor’s classifications.


96 Dynamic Asset Allocation Growth Fund



OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 9/30/23
Swap counterparty/
Referenced debt*
Upfront
premium
received
(paid)**
Notional
amount
Value Termi-
nation
date
Payments
(paid)
by fund
Unrealized
appreciation/
(depreciation)
Citigroup Global Markets, Inc.
CMBX NA A.6 Index   $(4,900)   $17,521 $2,810 5/11/63 (200 bp) — Monthly $(2,095)
CMBX NA A.6 Index   (3,888)   11,878 1,905 5/11/63 (200 bp) — Monthly (1,986)
CMBX NA A.6 Index   (410)   1,485 238 5/11/63 (200 bp) — Monthly (173)
CMBX NA A.6 Index   (243)   891 143 5/11/63 (200 bp) — Monthly (101)
CMBX NA A.6 Index   (164)   594 95 5/11/63 (200 bp) — Monthly (69)
CMBX NA A.6 Index   (164)   594 95 5/11/63 (200 bp) — Monthly (69)
CMBX NA A.6 Index   (81)   297 48 5/11/63 (200 bp) — Monthly (33)
CMBX NA A.7 Index   (1,802)   176,393 13,847 1/17/47 (200 bp) — Monthly 11,986
CMBX NA BB.10 Index   (33,272)   138,000 61,796 11/17/59 (500 bp) — Monthly 28,409
CMBX NA BB.10 Index   (14,025)   55,000 24,629 11/17/59 (500 bp) — Monthly 10,558
CMBX NA BB.10 Index   (5,114)   49,000 21,942 11/17/59 (500 bp) — Monthly 16,788
CMBX NA BB.10 Index   (4,386)   40,000 17,912 11/17/59 (500 bp) — Monthly 13,493
CMBX NA BB.11 Index   (4,405)   34,000 12,944 11/18/54 (500 bp) — Monthly 8,510
CMBX NA BB.11 Index   (934)   18,000 6,853 11/18/54 (500 bp) — Monthly 5,904
CMBX NA BB.11 Index   (550)   8,000 3,046 11/18/54 (500 bp) — Monthly 2,489
CMBX NA BB.8 Index   (9,647)   27,058 11,870 10/17/57 (500 bp) — Monthly 2,200
CMBX NA BB.8 Index   (3,109)   8,697 3,816 10/17/57 (500 bp) — Monthly 699
CMBX NA BB.9 Index   (968)   24,000 9,502 9/17/58 (500 bp) — Monthly 8,514
CMBX NA BB.9 Index   (1,419)   22,000 8,710 9/17/58 (500 bp) — Monthly 7,272
CMBX NA BB.9 Index   (413)   4,000 1,584 9/17/58 (500 bp) — Monthly 1,167
CMBX NA BB.9 Index   (109)   3,000 1,188 9/17/58 (500 bp) — Monthly 1,076
CMBX NA BBB−.12 Index   (19,555)   62,000 17,242 8/17/61 (300 bp) — Monthly (2,344)
CMBX NA BBB−.12 Index   (11,982)   34,000 9,455 8/17/61 (300 bp) — Monthly (2,544)


Dynamic Asset Allocation Growth Fund 97



OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 9/30/23 cont.
Swap counterparty/
Referenced debt*
Upfront
premium
received
(paid)**
Notional
amount
Value Termi-
nation
date
Payments
(paid)
by fund
Unrealized
appreciation/
(depreciation)
Citigroup Global Markets, Inc. cont.
CMBX NA BBB−.12 Index   $(6,318)   $28,000 $7,787 8/17/61 (300 bp) — Monthly $1,455
CMBX NA BBB−.12 Index   (5,137)   27,000 7,509 8/17/61 (300 bp) — Monthly 2,358
CMBX NA BBB−.12 Index   (4,077)   24,000 6,674 8/17/61 (300 bp) — Monthly 2,585
CMBX NA BBB−.12 Index   (7,682)   23,000 6,396 8/17/61 (300 bp) — Monthly (1,298)
CMBX NA BBB−.12 Index   (2,710)   16,000 4,450 8/17/61 (300 bp) — Monthly 1,732
CMBX NA BBB−.14 Index   (224)   2,000 483 12/16/72 (300 bp) — Monthly 258
CMBX NA BBB−.14 Index   (199)   1,000 242 12/16/72 (300 bp) — Monthly 42
CMBX NA BBB−.14 Index   (112)   1,000 242 12/16/72 (300 bp) — Monthly 129
CMBX NA BBB−.6 Index   (64)   489 71 5/11/63 (300 bp) — Monthly 7
CMBX NA BBB−.9 Index   (4,732)   20,000 4,324 9/17/58 (300 bp) — Monthly (418)
Credit Suisse International
CMBX NA BB.10 Index   (13,476)   101,000 45,228 11/17/59 (500 bp) — Monthly 31,668
CMBX NA BB.10 Index   (11,892)   100,000 44,780 11/17/59 (500 bp) — Monthly 32,805
CMBX NA BB.10 Index   (6,588)   53,000 23,733 11/17/59 (500 bp) — Monthly 17,101
CMBX NA BB.7 Index   (8,878)   300,473 95,400 5/11/63 (500 bp) — Monthly 90,256
CMBX NA BB.7 Index   (28,223)   149,550 54,870 1/17/47 (500 bp) — Monthly 26,522
CMBX NA BB.7 Index   (8,060)   47,895 17,573 1/17/47 (500 bp) — Monthly 9,473
CMBX NA BB.8 Index   (1,227)   6,765 2,968 10/17/57 (500 bp) — Monthly 1,735
Goldman Sachs International
CMBX NA BB.10 Index   (10,860)   48,000 21,494 11/17/59 (500 bp) — Monthly 10,594
CMBX NA BB.6 Index   (716)   4,182 1,328 5/11/63 (500 bp) — Monthly 608
CMBX NA BB.7 Index   (60,712)   292,257 107,229 1/17/47 (500 bp) — Monthly 46,274
CMBX NA BB.7 Index   (6,881)   41,053 15,062 1/17/47 (500 bp) — Monthly 8,147
CMBX NA BB.8 Index   (16,152)   44,453 19,501 10/17/57 (500 bp) — Monthly 3,313


98 Dynamic Asset Allocation Growth Fund



OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 9/30/23 cont.
Swap counterparty/
Referenced debt*
Upfront
premium
received
(paid)**
Notional
amount
Value Termi-
nation
date
Payments
(paid)
by fund
Unrealized
appreciation/
(depreciation)
Goldman Sachs International cont.
CMBX NA BB.8 Index   $(9,579)   $25,125 $11,023 10/17/57 (500 bp) — Monthly $1,423
CMBX NA BB.8 Index   (1,133)   9,664 4,239 10/17/57 (500 bp) — Monthly 3,098
CMBX NA BBB−.12 Index   (49,470)   276,000 76,756 8/17/61 (300 bp) — Monthly 27,148
CMBX NA BBB−.12 Index   (14,109)   79,000 21,970 8/17/61 (300 bp) — Monthly 7,822
JPMorgan Securities LLC
CMBX NA BB.7 Index   (7,834)   15,639 5,738 1/17/47 (500 bp) — Monthly (2,110)
CMBX NA BBB−.10 Index   (18,410)   146,000 40,325 11/17/59 (300 bp) — Monthly 21,843
CMBX NA BBB−.14 Index   (122)   2,000 483 12/16/72 (300 bp) — Monthly 360
CMBX NA BBB−.7 Index   (96,249)   354,748 67,402 1/17/47 (300 bp) — Monthly (29,028)
Merrill Lynch International
CMBX NA BB.10 Index   (5,519)   97,000 43,437 11/17/59 (500 bp) — Monthly 37,837
CMBX NA BBB−.10 Index   (12,134)   56,000 15,467 11/17/59 (300 bp) — Monthly 3,306
CMBX NA BBB−.9 Index   (4,816)   26,000 5,621 9/17/58 (300 bp) — Monthly 792
CMBX NA BBB−.9 Index   (371)   2,000 432 9/17/58 (300 bp) — Monthly 61
Morgan Stanley & Co. International PLC
CMBX NA A.6 Index   (84)   297 48 5/11/63 (200 bp) — Monthly (36)
CMBX NA BB.10 Index   (14,884)   49,000 21,942 11/17/59 (500 bp) — Monthly 7,018
CMBX NA BB.10 Index   (5,139)   49,000 21,942 11/17/59 (500 bp) — Monthly 16,762
CMBX NA BB.10 Index   (4,932)   21,000 9,404 11/17/59 (500 bp) — Monthly 4,454
CMBX NA BB.7 Index   (4,628)   23,459 8,607 1/17/47 (500 bp) — Monthly 3,960
CMBX NA BB.8 Index   (1,449)   3,865 1,696 10/17/57 (500 bp) — Monthly 243
CMBX NA BB.9 Index   (121)   3,000 1,188 9/17/58 (500 bp) — Monthly 1,065
CMBX NA BBB−.10 Index   (1,469)   14,000 3,867 11/17/59 (300 bp) — Monthly 2,391
CMBX NA BBB−.10 Index   (1,837)   8,000 2,210 11/17/59 (300 bp) — Monthly 369
CMBX NA BBB−.12 Index   (16,668)   128,000 35,597 8/17/61 (300 bp) — Monthly 18,865


Dynamic Asset Allocation Growth Fund 99




OTC CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION PURCHASED at 9/30/23 cont.
Swap counterparty/
Referenced debt*
Upfront
premium
received
(paid)**
Notional
amount
Value Termi-
nation
date
Payments
(paid)
by fund
Unrealized
appreciation/
(depreciation)
Morgan Stanley & Co. International PLC cont.
CMBX NA BBB−.12 Index   $(2,659)   $8,000 $2,225 8/17/61 (300 bp) — Monthly $(438)
CMBX NA BBB−.12 Index   (1,043)   5,000 1,391 8/17/61 (300 bp) — Monthly 345
CMBX NA BBB−.14 Index   (62)   1,000 242 12/16/72 (300 bp) — Monthly 179
CMBX NA BBB−.7 Index   (4,177)   35,475 6,740 1/17/47 (300 bp) — Monthly 2,545
CMBX NA BBB−.8 Index   (3,920)   28,000 5,328 10/17/57 (300 bp) — Monthly 1,394
CMBX NA BBB−.8 Index   (2,738)   20,000 3,806 10/17/57 (300 bp) — Monthly 1,059
CMBX NA BBB−.8 Index   (2,825)   20,000 3,806 10/17/57 (300 bp) — Monthly 971
CMBX NA BBB−.8 Index   (465)   3,000 571 10/17/57 (300 bp) — Monthly 105
Upfront premium received Unrealized appreciation 571,542
Upfront premium (paid) (615,306) Unrealized (depreciation) (42,742)
Total $(615,306) Total $528,800
* Payments related to the referenced debt are made upon a credit default event.
** Upfront premium is based on the difference between the original spread on issue and the market spread on day of execution.

CENTRALLY CLEARED CREDIT DEFAULT CONTRACTS OUTSTANDING — PROTECTION SOLD at 9/30/23
Referenced debt* Rating*** Upfront
premium
received
(paid)**
Notional
amount
Value Termi-
nation
date
Payments
received
by fund
Unrealized
appreciation/
(depreciation)
CDX NA HY Series 40 Index B+/P $(41,734)   $3,403,000 $51,794 6/20/28 500 bp — Quarterly $15,260
CDX NA IG Series 41 Index BBB+/P (432,421)   33,600,000 398,496 12/20/28 100 bp — Quarterly (26,459)
Total $(474,155) $(11,199)
* Payments related to the referenced debt are made upon a credit default event.
** Upfront premium is based on the difference between the original spread on issue and the market spread on day of execution.
*** Ratings for an underlying index represent the average of the ratings of all the securities included in that index. The Moody’s, Standard & Poor’s or Fitch ratings are believed to be the most recent ratings available at September 30, 2023. Securities rated by Putnam are indicated by “/P.” The Putnam rating categories are comparable to the Standard & Poor’s classifications.


100 Dynamic Asset Allocation Growth Fund



ASC 820 establishes a three-level hierarchy for disclosure of fair value measurements. The valuation hierarchy is based upon the transparency of inputs to the valuation of the fund’s investments. The three levels are defined as follows:

Level 1: Valuations based on quoted prices for identical securities in active markets.

Level 2: Valuations based on quoted prices in markets that are not active or for which all significant inputs are observable, either directly or indirectly.

Level 3: Valuations based on inputs that are unobservable and significant to the fair value measurement.

The following is a summary of the inputs used to value the fund’s net assets as of the close of the reporting period:


Valuation inputs
Investments in securities: Level 1 Level 2 Level 3
Common stocks*:
Basic materials $55,062,488 $29,295,096 $—
Capital goods 56,430,198 21,515,667
Communication services 24,938,974 4,650,518
Conglomerates 6,941,787 6,828,559
Consumer cyclicals 217,824,646 63,293,853
Consumer staples 81,392,423 40,496,759
Energy 62,649,687 24,459,134
Financials 167,498,212 75,793,739
Health care 172,197,103 46,316,738 11,068
Technology 439,644,031 50,783,793
Transportation 24,125,399 6,047,673
Utilities and power 33,177,821 9,771,609
Total common stocks 1,341,882,769 379,253,138 11,068
Asset-backed securities 1,170,840
Collateralized loan obligations 16,502,594
Convertible bonds and notes 364,260
Convertible preferred stocks 244,699
Corporate bonds and notes 200,362,170
Foreign government and agency bonds and notes 8,961,789
Investment companies 410,083
Mortgage-backed securities 48,182,799
Purchased options outstanding 8,863,441
Senior loans 6,576,502
U.S. government and agency mortgage obligations 138,966,874
U.S. treasury obligations 198,296
Short-term investments 10,603,000 116,403,597
Totals by level $1,353,140,551 $925,806,300 $11,068


Dynamic Asset Allocation Growth Fund 101



Valuation inputs
Other financial instruments: Level 1 Level 2 Level 3
Forward currency contracts $— $559,615 $—
Futures contracts (2,567,580)
Written options outstanding (1,362,672)
TBA sale commitments (13,658,243)
Interest rate swap contracts (224,150)
Total return swap contracts 379,347
Credit default contracts 1,131,563
Totals by level $(2,567,580) $(13,174,540) $—

* Common stock classifications are presented at the sector level, which may differ from the fund’s portfolio presentation.

At the start and close of the reporting period, Level 3 investments in securities represented less than 1% of the fund’s net assets and were not considered a significant portion of the fund’s portfolio.



The accompanying notes are an integral part of these financial statements.


102 Dynamic Asset Allocation Growth Fund



Statement of assets and liabilities 9/30/23

ASSETS   
Investment in securities, at value (Note 1):   
Unaffiliated issuers (identified cost $1,773,070,620)  $2,179,843,235 
Affiliated issuers (identified cost $99,114,684) (Note 5)  99,114,684 
Cash  113,946 
Foreign currency (cost $683,369) (Note 1)  629,788 
Dividends, interest and other receivables  6,344,012 
Foreign tax reclaim  1,377,773 
Receivable for shares of the fund sold  3,223,721 
Receivable for investments sold  8,203,396 
Receivable for sales of TBA securities (Note 1)  13,928,796 
Receivable for variation margin on futures contracts (Note 1)  308,108 
Receivable for variation margin on centrally cleared swap contracts (Note 1)  20,290 
Unrealized appreciation on forward currency contracts (Note 1)  1,594,295 
Unrealized appreciation on OTC swap contracts (Note 1)  3,868,118 
Premium paid on OTC swap contracts (Note 1)  616,581 
Receivable from broker (Note 1)  27 
Deposits with broker (Note 1)  3,324,679 
Prepaid assets  39,851 
Total assets  2,322,551,300 
 
LIABILITIES   
Payable for investments purchased  8,233,327 
Payable for purchases of delayed delivery securities (Note 1)  600,000 
Payable for purchases of TBA securities (Note 1)  87,348,490 
Payable for shares of the fund repurchased  2,314,345 
Payable for compensation of Manager (Note 2)  1,080,991 
Payable for custodian fees (Note 2)  65,331 
Payable for investor servicing fees (Note 2)  701,003 
Payable for Trustee compensation and expenses (Note 2)  349,987 
Payable for administrative services (Note 2)  7,619 
Payable for distribution fees (Note 2)  1,111,874 
Payable for variation margin on futures contracts (Note 1)  96,445 
Payable for variation margin on centrally cleared swap contracts (Note 1)  112,687 
Unrealized depreciation on OTC swap contracts (Note 1)  3,190,306 
Premium received on OTC swap contracts (Note 1)  246,439 
Unrealized depreciation on forward currency contracts (Note 1)  1,034,680 
Written options outstanding, at value (premiums $1,108,419) (Note 1)  1,362,672 
TBA sale commitments, at value (proceeds receivable $13,908,477) (Note 1)  13,658,243 
Collateral on certain derivative contracts, at value (Notes 1 and 9)  10,801,296 
Other accrued expenses  629,889 
Total liabilities  132,945,624 
 
Net assets  $2,189,605,676 

 

(Continued on next page)

 

Dynamic Asset Allocation Growth Fund 103 

 


 

Statement of assets and liabilities cont.

REPRESENTED BY   
Paid-in capital (Unlimited shares authorized) (Notes 1 and 4)  $1,769,353,517 
Total distributable earnings (Note 1)  420,252,159 
Total — Representing net assets applicable to capital shares outstanding  $2,189,605,676 
 
COMPUTATION OF NET ASSET VALUE AND OFFERING PRICE   
Net asset value and redemption price per class A share   
($1,496,298,007 divided by 87,782,067 shares)  $17.05 
Offering price per class A share (100/94.25 of $17.05)*  $18.09 
Net asset value and offering price per class B share ($10,210,553 divided by 618,528 shares)**  $16.51 
Net asset value and offering price per class C share ($130,413,569 divided by 8,366,707 shares)**  $15.59 
Net asset value, offering price and redemption price per class P share   
($25,378,365 divided by 1,463,533 shares)  $17.34 
Net asset value, offering price and redemption price per class R share   
($13,806,103 divided by 834,252 shares)  $16.55 
Net asset value, offering price and redemption price per class R5 share   
($4,328 divided by 248 shares)  $17.46 
Net asset value, offering price and redemption price per class R6 share   
($314,891,046 divided by 18,139,481 shares)  $17.36 
Net asset value, offering price and redemption price per class Y share   
($198,603,705 divided by 11,468,209 shares)  $17.32 

 

*On single retail sales of less than $50,000. On sales of $50,000 or more the offering price is reduced.

**Redemption price per share is equal to net asset value less any applicable contingent deferred sales charge.

Net asset value may not recalculate due to rounding of fractional shares.

The accompanying notes are an integral part of these financial statements.

104 Dynamic Asset Allocation Growth Fund 

 


 

Statement of operations Year ended 9/30/23

INVESTMENT INCOME   
Dividends (net of foreign taxes paid and refunded of $1,044,099)  $34,609,460 
Interest (including interest income of $5,189,141 from investments in affiliated issuers) (Note 5)  25,261,213 
Total investment income  59,870,673 
 
EXPENSES   
Compensation of Manager (Note 2)  13,769,149 
Investor servicing fees (Note 2)  2,927,175 
Custodian fees (Note 2)  353,626 
Trustee compensation and expenses (Note 2)  104,695 
Distribution fees (Note 2)  5,400,947 
Administrative services (Note 2)  77,009 
Other  836,444 
Total expenses  23,469,045 
Expense reduction (Note 2)  (53,709) 
Net expenses  23,415,336 
 
Net investment income  36,455,337 
 
REALIZED AND UNREALIZED GAIN (LOSS)   
Net realized gain (loss) on:   
Securities from unaffiliated issuers (net of foreign tax of $92,319) (Notes 1 and 3)  34,724,385 
Foreign currency transactions (Note 1)  (92,764) 
Forward currency contracts (Note 1)  (1,222,727) 
Futures contracts (Note 1)  (20,811,891) 
Swap contracts (Note 1)  7,525,102 
Written options (Note 1)  554,608 
Net increase from payments by affiliates (Note 2)  617,208 
Total net realized gain  21,293,921 
Change in net unrealized appreciation (depreciation) on:   
Securities from unaffiliated issuers and TBA sale commitments  330,373,619 
Assets and liabilities in foreign currencies  55,321 
Forward currency contracts  455,929 
Futures contracts  (6,590,397) 
Swap contracts  (1,580,663) 
Written options  (254,253) 
Total change in net unrealized appreciation  322,459,556 
 
Net gain on investments  343,753,477 
 
Net increase in net assets resulting from operations  $380,208,814 

 

The accompanying notes are an integral part of these financial statements.

Dynamic Asset Allocation Growth Fund 105 

 


 

Statement of changes in net assets

DECREASE IN NET ASSETS  Year ended 9/30/23  Year ended 9/30/22 
Operations     
Net investment income  $36,455,337  $32,002,134 
Net realized gain on investments     
and foreign currency transactions  21,293,921  31,685,770 
Change in net unrealized appreciation (depreciation)     
of investments and assets and liabilities     
in foreign currencies  322,459,556  (597,861,490) 
Net increase (decrease) in net assets resulting     
from operations  380,208,814  (534,173,586) 
Distributions to shareholders (Note 1):     
From ordinary income     
Net investment income     
Class A  (9,764,176)  (27,310,209) 
Class B    (196,807) 
Class C    (1,848,604) 
Class P  (3,376,282)  (6,434,521) 
Class R  (60,270)  (271,796) 
Class R5    (274,097) 
Class R6  (3,084,759)  (7,275,396) 
Class Y  (2,151,365)  (5,295,251) 
Net realized short-term gain on investments     
Class A    (68,166,539) 
Class B    (1,151,654) 
Class C    (8,701,657) 
Class P    (12,722,794) 
Class R    (842,933) 
Class R5    (593,576) 
Class R6    (14,888,492) 
Class Y    (11,406,907) 
Net realized long-term gain on investments     
Class A  (14,646,130)  (142,212,700) 
Class B  (177,057)  (2,402,642) 
Class C  (1,661,578)  (18,153,866) 
Class P  (3,118,010)  (26,542,976) 
Class R  (160,060)  (1,758,571) 
Class R5  (8,887)  (1,238,351) 
Class R6  (2,992,401)  (31,061,174) 
Class Y  (2,323,474)  (23,797,701) 
Increase (decrease) from capital share transactions (Note 4)  (475,386,599)  214,630,867 
Total decrease in net assets  (138,702,234)  (734,091,933) 
 
NET ASSETS     
Beginning of year  2,328,307,910  3,062,399,843 
End of year  $2,189,605,676  $2,328,307,910 

 

The accompanying notes are an integral part of these financial statements.

106 Dynamic Asset Allocation Growth Fund 

 


 

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Dynamic Asset Allocation Growth Fund 107 

 


 

Financial highlights
(For a common share outstanding throughout the period)

  INVESTMENT OPERATIONS      LESS DISTRIBUTIONS          RATIOS AND SUPPLEMENTAL DATA   
                        Ratio of net   
  Net asset    Net realized                Ratio  investment   
  value,    and unrealized  Total from  From net  From    Net asset  Total return  Net assets,  of expenses  income (loss)  Portfolio 
  beginning  Net investment  gain (loss)  investment  investment  net realized gain  Total  value, end  at net asset  end of period  to average  to average  turnover 
Period ended­  of period­  income (loss)a  on investments­  operations­  income­  on investments­  distributions  of period­  value (%)b  (in thousands)  net assets (%)c  net assets (%)  (%)d­ 
Class A                           
September 30, 2023­  $14.82­  .26­  2.24­  2.50­  (.11)  (.16)  (.27)  $17.05­  17.03­  $1,496,298­  1.05­  1.54­  191­ 
September 30, 2022  20.95­  .19­  (3.46)  (3.27)  (.33)  (2.53)  (2.86)  14.82­  (18.53)  1,352,591­  1.03­  1.08­  171­ 
September 30, 2021  16.98­  .15­  3.91­  4.06­  (.09)  —­  (.09)  20.95­  23.97­  1,762,933­  1.02­  .77­  168­ 
September 30, 2020  15.91­  .18­  1.15­  1.33­  (.26)  —­  (.26)  16.98­  8.40­  1,548,612­  1.05­  1.16­  194­ 
September 30, 2019  17.77­  .27­  (.68)  (.41)  (.18)  (1.27)  (1.45)  15.91­  (1.25)  1,546,131­  1.06­  1.73­  117­ 
Class B                           
September 30, 2023­  $14.37­  .12­  2.18­  2.30­  —­  (.16)  (.16)  $16.51­  16.11­  $10,211­  1.80­  .74­  191­ 
September 30, 2022  20.35­  .05­  (3.36)  (3.31)  (.14)  (2.53)  (2.67)  14.37­  (19.12)  17,493­  1.78­  .27­  171­ 
September 30, 2021  16.54­  —­e  3.81­  3.81­  —­  —­  —­  20.35­  23.04­  31,070­  1.77­  .01­  168­ 
September 30, 2020  15.49­  .06­  1.11­  1.17­  (.12)  —­  (.12)  16.54­  7.58­  35,437­  1.80­  .40­  194­ 
September 30, 2019  17.29­  .15­  (.65)  (.50)  (.03)  (1.27)  (1.30)  15.49­  (1.98)  45,144­  1.81­  .96­  117­ 
Class C                           
September 30, 2023­  $13.57­  .12­  2.06­  2.18­  —­  (.16)  (.16)  $15.59­  16.17­  $130,414­  1.80­  .79­  191­ 
September 30, 2022  19.40­  .05­  (3.18)  (3.13)  (.17)  (2.53)  (2.70)  13.57­  (19.16)  144,712­  1.78­  .32­  171­ 
September 30, 2021  15.77­  —­e  3.63­  3.63­  —­  —­  —­  19.40­  23.02­  213,419­  1.77­  .03­  168­ 
September 30, 2020  14.79­  .06­  1.07­  1.13­  (.15)  —­  (.15)  15.77­  7.63­  208,217­  1.80­  .41­  194­ 
September 30, 2019  16.61­  .14­  (.64)  (.50)  (.05)  (1.27)  (1.32)  14.79­  (2.05)  227,681­  1.81­  .97­  117­ 
Class P                           
September 30, 2023­  $15.08­  .28­  2.32­  2.60­  (.18)  (.16)  (.34)  $17.34­  17.42­  $25,378­  .66­  1.69­  191­ 
September 30, 2022  21.29­  .27­  (3.54)  (3.27)  (.41)  (2.53)  (2.94)  15.08­  (18.29)  285,584­  .65­  1.47­  171­ 
September 30, 2021  17.25­  .23­  3.97­  4.20­  (.16)  —­  (.16)  21.29­  24.45­  323,609­  .64­  1.16­  168­ 
September 30, 2020  16.16­  .25­  1.17­  1.42­  (.33)  —­  (.33)  17.25­  8.82­  274,824­  .65­  1.56­  194­ 
September 30, 2019  18.04­  .34­  (.70)  (.36)  (.25)  (1.27)  (1.52)  16.16­  (.87)  258,038­  .65­  2.15­  117­ 
Class R                           
September 30, 2023­  $14.39­  .21­  2.17­  2.38­  (.06)  (.16)  (.22)  $16.55­  16.69­  $13,806­  1.30­  1.29­  191­ 
September 30, 2022  20.40­  .14­  (3.36)  (3.22)  (.26)  (2.53)  (2.79)  14.39­  (18.71)  14,349­  1.28­  .80­  171­ 
September 30, 2021  16.52­  .10­  3.81­  3.91­  (.03)  —­  (.03)  20.40­  23.68­  23,901­  1.27­  . 52­  168­ 
September 30, 2020  15.49­  .14­  1.11­  1.25­  (.22)  —­  (.22)  16.52­  8.10­  22,172­  1.30­  .92­  194­ 
September 30, 2019  17.34­  .22­  (.66)  (.44)  (.14)  (1.27)  (1.41)  15.49­  (1.52)  28,351­  1.31­  1.47­  117­ 
Class R5                           
September 30, 2023­  $15.04­  .25­  2.33­  2.58­  —­  (.16)  (.16)  $17.46­  17.26­  $4­  .80­  1.59­  191­ 
September 30, 2022  21.22­  .24­  (3.51)  (3.27)  (.38)  (2.53)  (2.91)  15.04­  (18.32)  11,893­  .79­  1.32­  171­ 
September 30, 2021  17.20­  .21­  3.94­  4.15­  (.13)  —­  (.13)  21.22­  24.24­  15,534­  .78­  1.02­  168­ 
September 30, 2020  16.11­  .23­  1.16­  1.39­  (.30)  —­  (.30)  17.20­  8.70­  13,979­  .79­  1.43­  194­ 
September 30, 2019  17.98­  .32­  (.69)  (.37)  (.23)  (1.27)  (1.50)  16.11­  (.98)  15,464­  .79­  1.99­  117­ 

 

See notes to financial highlights at the end of this section.

The accompanying notes are an integral part of these financial statements.

108 Dynamic Asset Allocation Growth Fund  Dynamic Asset Allocation Growth Fund 109 

 


 

Financial highlights cont.

  INVESTMENT OPERATIONS      LESS DISTRIBUTIONS          RATIOS AND SUPPLEMENTAL DATA   
                        Ratio of net   
  Net asset    Net realized                Ratio  investment   
  value,    and unrealized  Total from  From net  From    Net asset  Total return  Net assets,  of expenses  income (loss)  Portfolio 
  beginning  Net investment  gain (loss)  investment  investment  net realized gain  Total  value, end  at net asset  end of period  to average  to average  turnover 
Period ended­  of period­  income (loss)a  on investments­  operations­  income­  on investments­  distributions  of period­  value (%)b  (in thousands)  net assets (%)c  net assets (%)  (%)d­ 
Class R6                           
September 30, 2023­  $15.09­  .32­  2.28­  2.60­  (.17)  (.16)  (.33)  $17.36­  17.42­  $314,891­  .70­  1.89­  191­ 
September 30, 2022  21.29­  .26­  (3.53)  (3.27)  (.40)  (2.53)  (2.93)  15.09­  (18.27)  280,296­  .69­  1.42­  171­ 
September 30, 2021  17.25­  .23­  3.96­  4.19­  (.15)  —­  (.15)  21.29­  24.41­  390,780­  .68­  1.12­  168­ 
September 30, 2020  16.16­  .25­  1.16­  1.41­  (.32)  —­  (.32)  17.25­  8.79­  353,696­  .69­  1.52­  194­ 
September 30, 2019  18.04­  .34­  (.70)  (.36)  (.25)  (1.27)  (1.52)  16.16­  (.91)  307,909­  .69­  2.11­  117­ 
Class Y                           
September 30, 2023­  $15.06­  .30­  2.27­  2.57­  (.15)  (.16)  (.31)  $17.32­  17.26­  $198,604­  .80­  1.80­  191­ 
September 30, 2022  21.24­  .24­  (3.51)  (3.27)  (.38)  (2.53)  (2.91)  15.06­  (18.29)  221,391­  .78­  1.32­  171­ 
September 30, 2021  17.21­  .21­  3.95­  4.16­  (.13)  —­  (.13)  21.24­  24.27­  301,154­  .77­  1.03­  168­ 
September 30, 2020  16.12­  .23­  1.16­  1.39­  (.30)  —­  (.30)  17.21­  8.67­  271,142­  .80­  1.41­  194­ 
September 30, 2019  17.99­  .31­  (.68)  (.37)  (.23)  (1.27)  (1.50)  16.12­  (.99)  328,736­  .81­  1.98­  117­ 

 

a Per share net investment income (loss) has been determined on the basis of the weighted average number of shares outstanding during the period.

b Total return assumes dividend reinvestment and does not reflect the effect of sales charges.

c Includes amounts paid through expense offset and brokerage/service arrangements, if any (Note 2). Also excludes acquired fund fees, if any.

d Portfolio turnover includes TBA purchase and sale commitments.

e Amount represents less than $0.01 per share.

The accompanying notes are an integral part of these financial statements.

110 Dynamic Asset Allocation Growth Fund  Dynamic Asset Allocation Growth Fund 111 

 


 

Notes to financial statements 9/30/23

Unless otherwise noted, the “reporting period” represents the period from October 1, 2022 through September 30, 2023. The following table defines commonly used references within the Notes to financial statements:

References to  Represent 
Putnam Management  Putnam Investment Management, LLC, the fund’s manager, an indirect wholly-owned 
  subsidiary of Putnam Investments, LLC 
State Street  State Street Bank and Trust Company 
JPMorgan  JPMorgan Chase Bank, N.A. 
the SEC  the Securities and Exchange Commission 
OTC  over-the-counter 
PAC  The Putnam Advisory Company, LLC, an affiliate of Putnam Management 
PIL  Putnam Investments Limited, an affiliate of Putnam Management 

 

Putnam Dynamic Asset Allocation Growth Fund (the fund) is a diversified series of Putnam Asset Allocation Funds (the Trust), a Massachusetts business trust registered under the Investment Company Act of 1940, as amended, as an open-end management investment company. The goal of the fund is to seek capital appreciation. The fund is one of three Putnam Dynamic Asset Allocation Funds, each of which has a unique strategic, or typical, allocation between equity and fixed-income investments. Using qualitative analysis and quantitative techniques, Putnam Management adjusts portfolio allocations from time to time within a certain range to try to optimize the fund’s performance consistent with its goal. The fund invests mainly in equity securities (growth or value stocks or both) of both U.S. and foreign companies of any size. Putnam Management may consider, among other factors, a company’s valuation, financial strength, growth potential, competitive position in its industry, projected future earnings, cash flows and dividends when deciding whether to buy or sell equity investments. The fund also invests, to a lesser extent, in fixed-income investments, including U.S. and foreign government obligations, corporate obligations and securitized debt instruments (such as mortgage-backed investments). Putnam Management may consider, among other factors, credit, interest rate and prepayment risks, as well as general market conditions, when deciding whether to buy or sell fixed-income investments. Putnam Management may also select other investments that do not fall within these asset classes. The fund typically uses to a significant extent derivatives, such as futures, options, certain foreign currency transactions, warrants and swap contracts, for both hedging and non-hedging purposes.

The fund offers the following share classes. The expenses for each class of shares may differ based on the distribution and investor servicing fees of each class, which are identified in Note 2.

Share class  Sales charge  Contingent deferred sales charge  Conversion feature 
    1.00% on certain redemptions of shares   
Class A  Up to 5.75%  bought with no initial sales charge  None 
      Converts to class A shares 
Class B*  None  5.00% phased out over six years  after 8 years 
      Converts to class A shares 
Class C  None  1.00% eliminated after one year  after 8 years 
Class PΔ  None  None  None 
Class R  None  None  None 
Class R5  None  None  None 
Class R6  None  None  None 
Class Y  None  None  None 

 

* Purchases of class B shares are closed to new and existing investors except by exchange from class B shares of another Putnam fund or through dividend and/or capital gains reinvestment.

Not available to all investors.

Δ Only available to other Putnam funds and other accounts managed by Putnam Management or its affiliates.

112 Dynamic Asset Allocation Growth Fund 

 


 

In the normal course of business, the fund enters into contracts that may include agreements to indemnify another party under given circumstances. The fund’s maximum exposure under these arrangements is unknown as this would involve future claims that may be, but have not yet been, made against the fund. However, the fund’s management team expects the risk of material loss to be remote.

The fund has entered into contractual arrangements with an investment adviser, administrator, distributor, shareholder servicing agent and custodian, who each provide services to the fund. Unless expressly stated otherwise, shareholders are not parties to, or intended beneficiaries of these contractual arrangements, and these contractual arrangements are not intended to create any shareholder right to enforce them against the service providers or to seek any remedy under them against the service providers, either directly or on behalf of the fund.

Under the Trust’s Amended and Restated Agreement and Declaration of Trust, any claims asserted by a shareholder against or on behalf of the Trust (or its series), including claims against Trustees and Officers, must be brought in state and federal courts located within the Commonwealth of Massachusetts.

Note 1: Significant accounting policies

The following is a summary of significant accounting policies consistently followed by the fund in the preparation of its financial statements. The preparation of financial statements is in conformity with accounting principles generally accepted in the United States of America and requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities in the financial statements and the reported amounts of increases and decreases in net assets from operations. Actual results could differ from those estimates. Subsequent events after the Statement of assets and liabilities date through the date that the financial statements were issued have been evaluated in the preparation of the financial statements.

Investment income, realized and unrealized gains and losses and expenses of the fund are borne pro-rata based on the relative net assets of each class to the total net assets of the fund, except that each class bears expenses unique to that class (including the distribution fees applicable to such classes). Each class votes as a class only with respect to its own distribution plan or other matters on which a class vote is required by law or determined by the Trustees. If the fund were liquidated, shares of each class would receive their pro-rata share of the net assets of the fund. In addition, the Trustees declare separate dividends on each class of shares.

Security valuation Portfolio securities and other investments are valued using policies and procedures adopted by the Board of Trustees. The Trustees have formed a Pricing Committee to oversee the implementation of these procedures and have delegated responsibility for valuing the fund’s assets in accordance with these procedures to Putnam Management. Putnam Management has established an internal Valuation Committee that is responsible for making fair value determinations, evaluating the effectiveness of the pricing policies of the fund and reporting to the Pricing Committee.

Investments for which market quotations are readily available are valued at the last reported sales price on their principal exchange, or official closing price for certain markets, and are classified as Level 1 securities under Accounting Standards Codification 820 Fair Value Measurements and Disclosures (ASC 820). If no sales are reported, as in the case of some securities that are traded OTC, a security is valued at its last reported bid price and is generally categorized as a Level 2 security.

Investments in open-end investment companies (excluding exchange-traded funds), if any, which can be classified as Level 1 or Level 2 securities, are valued based on their net asset value. The net asset value of such investment companies equals the total value of their assets less their liabilities and divided by the number of their outstanding shares.

Market quotations are not considered to be readily available for certain debt obligations (including short-term investments with remaining maturities of 60 days or less) and other investments; such investments are valued on the basis of valuations furnished by an independent pricing service approved by the Trustees or dealers selected by Putnam Management. Such services or dealers determine valuations for normal institutional-size trading units of such securities using methods based on market transactions for comparable securities and various relationships, generally recognized by institutional traders, between securities (which consider such factors as security prices, yields, maturities and ratings). These securities will generally be categorized as Level 2.

Many securities markets and exchanges outside the U.S. close prior to the scheduled close of the New York Stock Exchange and therefore the closing prices for securities in such markets or on such exchanges may not fully reflect events that occur after such close but before the scheduled close of the New York Stock Exchange. Accordingly, on certain days, the fund will fair value certain foreign equity securities taking into account multiple factors including movements in the U.S. securities markets, currency valuations and comparisons to the valuation of

Dynamic Asset Allocation Growth Fund 113 

 


 

American Depository Receipts, exchange-traded funds and futures contracts. The foreign equity securities, which would generally be classified as Level 1 securities, will be transferred to Level 2 of the fair value hierarchy when they are valued at fair value. The number of days on which fair value prices will be used will depend on market activity and it is possible that fair value prices will be used by the fund to a significant extent. At the close of the reporting period, fair value pricing was used for certain foreign securities in the portfolio. Securities quoted in foreign currencies, if any, are translated into U.S. dollars at the current exchange rate.

To the extent a pricing service or dealer is unable to value a security or provides a valuation that Putnam Management does not believe accurately reflects the security’s fair value, the security will be valued at fair value by Putnam Management, which has been designated as valuation designee pursuant to Rule 2a–5 under the Investment Company Act of 1940, in accordance with policies and procedures approved by the Trustees. Certain investments, including certain restricted and illiquid securities and derivatives, are also valued at fair value following procedures approved by the Trustees. These valuations consider such factors as significant market or specific security events such as interest rate or credit quality changes, various relationships with other securities, discount rates, U.S. Treasury, U.S. swap and credit yields, index levels, convexity exposures, recovery rates, sales and other multiples and resale restrictions. These securities are classified as Level 2 or as Level 3 depending on the priority of the significant inputs.

To assess the continuing appropriateness of fair valuations, the Valuation Committee reviews and affirms the reasonableness of such valuations on a regular basis after considering all relevant information that is reasonably available. Such valuations and procedures are reviewed periodically by the Trustees. Certain securities may be valued on the basis of a price provided by a single source. The fair value of securities is generally determined as the amount that the fund could reasonably expect to realize from an orderly disposition of such securities over a reasonable period of time. By its nature, a fair value price is a good faith estimate of the value of a security in a current sale and does not reflect an actual market price, which may be different by a material amount.

Joint trading account Pursuant to an exemptive order from the SEC, the fund may transfer uninvested cash balances into a joint trading account along with the cash of other registered investment companies and certain other accounts managed by Putnam Management. These balances may be invested in issues of short-term investments having maturities of up to 90 days.

Repurchase agreements The fund, or any joint trading account, through its custodian, receives delivery of the underlying securities, the fair value of which at the time of purchase is required to be in an amount at least equal to the resale price, including accrued interest. Collateral for certain tri-party repurchase agreements, is held at the counterparty’s custodian in a segregated account for the benefit of the fund and the counterparty. Putnam Management is responsible for determining that the value of these underlying securities is at all times at least equal to the resale price, including accrued interest. In the event of default or bankruptcy by the other party to the agreement, retention of the collateral may be subject to legal proceedings.

Security transactions and related investment income Security transactions are recorded on the trade date (the date the order to buy or sell is executed). Gains or losses on securities sold are determined on the identified cost basis.

Interest income, net of any applicable withholding taxes, if any, is recorded on the accrual basis. Amortization and accretion of premiums and discounts on debt securities, if any, is recorded on the accrual basis.

Dividend income, net of any applicable withholding taxes, is recognized on the ex-dividend date except that certain dividends from foreign securities, if any, are recognized as soon as the fund is informed of the ex-dividend date. Non-cash dividends, if any, are recorded at the fair value of the securities received. Dividends representing a return of capital or capital gains, if any, are reflected as a reduction of cost and/or as a realized gain.

The fund may have earned certain fees in connection with its senior loan purchasing activities. These fees, if any, are treated as market discount and are amortized into income in the Statement of operations.

Securities purchased or sold on a forward commitment or delayed delivery basis may be settled at a future date beyond customary settlement time; interest income is accrued based on the terms of the securities. Losses may arise due to changes in the fair value of the underlying securities or if the counterparty does not perform under the contract.

Stripped securities The fund may invest in stripped securities which represent a participation in securities that may be structured in classes with rights to receive different portions of the interest and principal. Interest-only securities receive all of the interest and principal-only securities receive all of the principal. If the interest-only securities experience greater than anticipated prepayments of principal, the fund may fail to recoup fully its initial

114 Dynamic Asset Allocation Growth Fund 

 


 

investment in these securities. Conversely, principal-only securities increase in value if prepayments are greater than anticipated and decline if prepayments are slower than anticipated. The fair value of these securities is highly sensitive to changes in interest rates.

Foreign currency translation The accounting records of the fund are maintained in U.S. dollars. The fair value of foreign securities, currency holdings, and other assets and liabilities is recorded in the books and records of the fund after translation to U.S. dollars based on the exchange rates on that day. The cost of each security is determined using historical exchange rates. Income and withholding taxes are translated at prevailing exchange rates when earned or incurred. The fund does not isolate that portion of realized or unrealized gains or losses resulting from changes in the foreign exchange rate on investments from fluctuations arising from changes in the market prices of the securities. Such gains and losses are included with the net realized and unrealized gain or loss on investments. Net realized gains and losses on foreign currency transactions represent net realized exchange gains or losses on disposition of foreign currencies, currency gains and losses realized between the trade and settlement dates on securities transactions and the difference between the amount of investment income and foreign withholding taxes recorded on the fund’s books and the U.S. dollar equivalent amounts actually received or paid. Net unrealized appreciation and depreciation of assets and liabilities in foreign currencies arise from changes in the value of assets and liabilities other than investments at the period end, resulting from changes in the exchange rate.

Options contracts The fund uses options contracts to hedge duration and convexity, to isolate prepayment risk, to gain exposure to interest rates, to hedge against changes in values of securities it owns, owned or expects to own, to hedge prepayment risk, to generate additional income for the portfolio, to enhance returns on securities owned, to enhance the return on a security owned, to gain exposure to securities and to manage downside risks.

The potential risk to the fund is that the change in value of options contracts may not correspond to the change in value of the hedged instruments. In addition, losses may arise from changes in the value of the underlying instruments if there is an illiquid secondary market for the contracts, if interest or exchange rates move unexpectedly or if the counterparty to the contract is unable to perform. Realized gains and losses on purchased options are included in realized gains and losses on investment securities. If a written call option is exercised, the premium originally received is recorded as an addition to sales proceeds. If a written put option is exercised, the premium originally received is recorded as a reduction to the cost of investments.

Exchange-traded options are valued at the last sale price or, if no sales are reported, the last bid price for purchased options and the last ask price for written options. OTC traded options are valued using prices supplied by dealers.

Options on swaps are similar to options on securities except that the premium paid or received is to buy or grant the right to enter into a previously agreed upon interest rate or credit default contract. Forward premium swap option contracts include premiums that have extended settlement dates. The delayed settlement of the premiums is factored into the daily valuation of the option contracts. In the case of interest rate cap and floor contracts, in return for a premium, ongoing payments between two parties are based on interest rates exceeding a specified rate, in the case of a cap contract, or falling below a specified rate in the case of a floor contract.

Written option contracts outstanding at period end, if any, are listed after the fund’s portfolio.

Futures contracts The fund uses futures contracts to manage exposure to market risk, to hedge prepayment risk, to hedge interest rate risk, to gain exposure to interest rates and to equitize cash.

The potential risk to the fund is that the change in value of futures contracts may not correspond to the change in value of the hedged instruments. In addition, losses may arise from changes in the value of the underlying instruments, if there is an illiquid secondary market for the contracts, if interest or exchange rates move unexpectedly or if the counterparty to the contract is unable to perform. With futures, there is minimal counterparty credit risk to the fund since futures are exchange traded and the exchange’s clearinghouse, as counterparty to all exchange traded futures, guarantees the futures against default. Risks may exceed amounts recognized on the Statement of assets and liabilities. When the contract is closed, the fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed.

Futures contracts are valued at the quoted daily settlement prices established by the exchange on which they trade. The fund and the broker agree to exchange an amount of cash equal to the daily fluctuation in the value of the futures contract. Such receipts or payments are known as “variation margin.”

Futures contracts outstanding at period end, if any, are listed after the fund’s portfolio.

Dynamic Asset Allocation Growth Fund 115 

 


 

Forward currency contracts The fund buys and sells forward currency contracts, which are agreements between two parties to buy and sell currencies at a set price on a future date. These contracts are used to hedge foreign exchange risk and to gain exposure to currencies.

The U.S. dollar value of forward currency contracts is determined using current forward currency exchange rates supplied by a quotation service. The fair value of the contract will fluctuate with changes in currency exchange rates. The contract is marked to market daily and the change in fair value is recorded as an unrealized gain or loss. The fund records a realized gain or loss equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed when the contract matures or by delivery of the currency. The fund could be 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. Risks may exceed amounts recognized on the Statement of assets and liabilities.

Forward currency contracts outstanding at period end, if any, are listed after the fund’s portfolio.

Interest rate swap contracts The fund entered into OTC and/or centrally cleared interest rate swap contracts, which are arrangements between two parties to exchange cash flows based on a notional principal amount, to hedge interest rate risk, to gain exposure on interest rates and to hedge prepayment risk.

An OTC and centrally cleared interest rate swap can be purchased or sold with an upfront premium. For OTC interest rate swap contracts, an upfront payment received by the fund is recorded as a liability on the fund’s books. An upfront payment made by the fund is recorded as an asset on the fund’s books. OTC and centrally cleared interest rate swap contracts are marked to market daily based upon quotations from an independent pricing service or market makers. Any change is recorded as an unrealized gain or loss on OTC interest rate swaps. Daily fluctuations in the value of centrally cleared interest rate swaps are settled through a central clearing agent and are recorded in variation margin on the Statement of assets and liabilities and recorded as unrealized gain or loss. Payments, including upfront premiums, received or made are recorded as realized gains or losses at the reset date or the closing of the contract. Certain OTC and centrally cleared interest rate swap contracts may include extended effective dates. Payments related to these swap contracts are accrued based on the terms of the contract.

The fund could be exposed to credit or market risk due to unfavorable changes in the fluctuation of interest rates or if the counterparty defaults, in the case of OTC interest rate contracts, or the central clearing agency or a clearing member defaults, in the case of centrally cleared interest rate swap contracts, on its respective obligation to perform under the contract. The fund’s maximum risk of loss from counterparty risk or central clearing risk is the fair value of the contract. This risk may be mitigated for OTC interest rate swap contracts by having a master netting arrangement between the fund and the counterparty and for centrally cleared interest rate swap contracts through the daily exchange of variation margin. There is minimal counterparty risk with respect to centrally cleared interest rate swap contracts due to the clearinghouse guarantee fund and other resources that are available in the event of a clearing member default. Risk of loss may exceed amounts recognized on the Statement of assets and liabilities.

OTC and centrally cleared interest rate swap contracts outstanding, including their respective notional amounts at period end, if any, are listed after the fund’s portfolio.

At close of the reporting period, the fund has deposited cash valued at $2,117,718 in a segregated account to cover margin requirements on open centrally cleared interest rate swap contracts.

Total return swap contracts The fund entered into OTC and/or centrally cleared total return swap contracts, which are arrangements to exchange a market-linked return for a periodic payment, both based on a notional principal amount, to hedge sector exposure, to manage exposure to specific sectors or industries, to manage exposure to specific securities, to gain exposure to a basket of securities, to gain exposure to specific markets or countries and to gain exposure to specific sectors or industries.

To the extent that the total return of the security, index or other financial measure underlying the transaction exceeds or falls short of the offsetting interest rate obligation, the fund will receive a payment from or make a payment to the counterparty. OTC and/or centrally cleared total return swap contracts are marked to market daily based upon quotations from an independent pricing service or market maker. Any change is recorded as an unrealized gain or loss on OTC total return swaps. Daily fluctuations in the value of centrally cleared total return swaps are settled through a central clearing agent and are recorded in variation margin on the Statement of assets and liabilities and recorded as unrealized gain or loss. Payments received or made are recorded as realized gains or losses. Certain OTC and/or centrally cleared total return swap contracts may include extended effective dates. Payments related to these swap contracts are accrued based on the terms of the contract. The fund could

116 Dynamic Asset Allocation Growth Fund 

 


 

be exposed to credit or market risk due to unfavorable changes in the fluctuation of interest rates or in the price of the underlying security or index, the possibility that there is no liquid market for these agreements or that the counterparty may default on its obligation to perform. The fund’s maximum risk of loss from counterparty risk or central clearing risk is the fair value of the contract. This risk may be mitigated for OTC total return swap contracts by having a master netting arrangement between the fund and the counterparty and for centrally cleared total return swap contracts through the daily exchange of variation margin. There is minimal counterparty risk with respect to centrally cleared total return swap contracts due to the clearinghouse guarantee fund and other resources that are available in the event of a clearing member default. Risk of loss may exceed amounts recognized on the Statement of assets and liabilities.

OTC and/or centrally cleared total return swap contracts outstanding, including their respective notional amounts at period end, if any, are listed after the fund’s portfolio.

Credit default contracts The fund entered into OTC and/or centrally cleared credit default contracts to hedge credit risk, to hedge market risk and to gain exposure on individual names and/or baskets of securities.

In OTC and centrally cleared credit default contracts, the protection buyer typically makes a periodic stream of payments to a counterparty, the protection seller, in exchange for the right to receive a contingent payment upon the occurrence of a credit event on the reference obligation or all other equally ranked obligations of the reference entity. Credit events are contract specific but may include bankruptcy, failure to pay, restructuring and obligation acceleration. For OTC credit default contracts, an upfront payment received by the fund is recorded as a liability on the fund’s books. An upfront payment made by the fund is recorded as an asset on the fund’s books. Centrally cleared credit default contracts provide the same rights to the protection buyer and seller except the payments between parties, including upfront premiums, are settled through a central clearing agent through variation margin payments. Upfront and periodic payments received or paid by the fund for OTC and centrally cleared credit default contracts are recorded as realized gains or losses at the reset date or close of the contract. The OTC and centrally cleared credit default contracts are marked to market daily based upon quotations from an independent pricing service or market makers. Any change in value of OTC credit default contracts is recorded as an unrealized gain or loss. Daily fluctuations in the value of centrally cleared credit default contracts are recorded in variation margin on the Statement of assets and liabilities and recorded as unrealized gain or loss. Upon the occurrence of a credit event, the difference between the par value and fair value of the reference obligation, net of any proportional amount of the upfront payment, is recorded as a realized gain or loss.

In addition to bearing the risk that the credit event will occur, the fund could be exposed to market risk due to unfavorable changes in interest rates or in the price of the underlying security or index or the possibility that the fund may be unable to close out its position at the same time or at the same price as if it had purchased the underlying reference obligations. In certain circumstances, the fund may enter into offsetting OTC and centrally cleared credit default contracts which would mitigate its risk of loss. Risks of loss may exceed amounts recognized on the Statement of assets and liabilities. The fund’s maximum risk of loss from counterparty risk, either as the protection seller or as the protection buyer, is the fair value of the contract. This risk may be mitigated for OTC credit default contracts by having a master netting arrangement between the fund and the counterparty and for centrally cleared credit default contracts through the daily exchange of variation margin. Counterparty risk is further mitigated with respect to centrally cleared credit default swap contracts due to the clearinghouse guarantee fund and other resources that are available in the event of a clearing member default. Where the fund is a seller of protection, the maximum potential amount of future payments the fund may be required to make is equal to the notional amount.

OTC and centrally cleared credit default contracts outstanding, including their respective notional amounts at period end, if any, are listed after the fund’s portfolio.

At close of the reporting period, the fund has deposited cash valued at $1,206,961 in a segregated account to cover margin requirements on open centrally cleared credit default contracts.

TBA commitments The fund may enter into TBA (to be announced) commitments to purchase securities for a fixed unit price at a future date beyond customary settlement time. Although the unit price and par amount have been established, the actual securities have not been specified. However, it is anticipated that the amount of the commitments will not significantly differ from the principal amount. The fund holds, and maintains until settlement date, cash or high-grade debt obligations in an amount sufficient to meet the purchase price, or the fund may enter into offsetting contracts for the forward sale of other securities it owns. Income on the securities will not be earned until settlement date.

Dynamic Asset Allocation Growth Fund 117 

 


 

The fund may also enter into TBA sale commitments to hedge its portfolio positions, to sell mortgage-backed securities it owns under delayed delivery arrangements or to take a short position in mortgage-backed securities. Proceeds of TBA sale commitments are not received until the contractual settlement date. During the time a TBA sale commitment is outstanding, either equivalent deliverable securities or an offsetting TBA purchase commitment deliverable on or before the sale commitment date are held as “cover” for the transaction, or other liquid assets in an amount equal to the notional value of the TBA sale commitment are segregated. If the TBA sale commitment is closed through the acquisition of an offsetting TBA purchase commitment, the fund realizes a gain or loss. If the fund delivers securities under the commitment, the fund realizes a gain or a loss from the sale of the securities based upon the unit price established at the date the commitment was entered into.

TBA commitments, which are accounted for as purchase and sale transactions, may be considered securities themselves, and involve a risk of loss due to changes in the value of the security prior to the settlement date as well as the risk that the counterparty to the transaction will not perform its obligations. Counterparty risk is mitigated by having a master agreement between the fund and the counterparty.

Unsettled TBA commitments are valued at their fair value according to the procedures described under “Security valuation” above. The contract is marked to market daily and the change in fair value is recorded by the fund as an unrealized gain or loss. Based on market circumstances, Putnam Management will determine whether to take delivery of the underlying securities or to dispose of the TBA commitments prior to settlement.

TBA purchase commitments outstanding at period end, if any, are listed within the fund’s portfolio and TBA sale commitments outstanding at period end, if any, are listed after the fund’s portfolio.

Master agreements The fund is a party to ISDA (International Swaps and Derivatives Association, Inc.) Master Agreements that govern OTC derivative and foreign exchange contracts and Master Securities Forward Transaction Agreements that govern transactions involving mortgage-backed and other asset-backed securities that may result in delayed delivery (Master Agreements) with certain counterparties entered into from time to time. The Master Agreements may contain provisions regarding, among other things, the parties’ general obligations, representations, agreements, collateral requirements, events of default and early termination. With respect to certain counterparties, in accordance with the terms of the Master Agreements, collateral pledged to the fund is held in a segregated account by the fund’s custodian and, with respect to those amounts which can be sold or repledged, are presented in the fund’s portfolio.

Collateral pledged by the fund is segregated by the fund’s custodian and identified in the fund’s portfolio. Collateral can be in the form of cash or debt securities issued by the U.S. Government or related agencies or other securities as agreed to by the fund and the applicable counterparty. Collateral requirements are determined based on the fund’s net position with each counterparty.

With respect to ISDA Master Agreements, termination events applicable to the fund may occur upon a decline in the fund’s net assets below a specified threshold over a certain period of time. Termination events applicable to counterparties may occur upon a decline in the counterparty’s long-term or short-term credit ratings below a specified level. In each case, upon occurrence, the other party may elect to terminate early and cause settlement of all derivative and foreign exchange contracts outstanding, including the payment of any losses and costs resulting from such early termination, as reasonably determined by the terminating party. Any decision by one or more of the fund’s counterparties to elect early termination could impact the fund’s future derivative activity.

At the close of the reporting period, the fund had a net liability position of $521,939 on open derivative contracts subject to the Master Agreements. Collateral pledged by the fund at period end for these agreements totaled $483,044 and may include amounts related to unsettled agreements.

Interfund lending The fund, along with other Putnam funds, may participate in an interfund lending program pursuant to an exemptive order issued by the SEC. This program allows the fund to borrow from or lend to other Putnam funds that permit such transactions. Interfund lending transactions are subject to each fund’s investment policies and borrowing and lending limits. Interest earned or paid on the interfund lending transaction will be based on the average of certain current market rates. During the reporting period, the fund did not utilize the program.

Lines of credit The fund participates, along with other Putnam funds, in a $320 million syndicated unsecured committed line of credit, provided by State Street ($160 million) and JPMorgan ($160 million), and a $235.5 million unsecured uncommitted line of credit, provided by State Street. Prior to May 2, 2023, the fund participated, along with other Putnam funds, in a $100 million unsecured committed line of credit and a $235.5 million unsecured uncommitted line of credit, both provided by State Street. Borrowings may be made for temporary or emergency purposes, including the funding of shareholder redemption requests and trade settlements. Interest is charged

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to the fund based on the fund’s borrowing at a rate equal to 1.25% plus the higher of (1) the Federal Funds rate and (2) the Overnight Bank Funding Rate for the committed line of credit and 1.30% plus the higher of (1) the Federal Funds rate and (2) the Overnight Bank Funding Rate for the uncommitted line of credit. A closing fee equal to 0.04% of the committed line of credit and 0.04% of the uncommitted line of credit has been paid by the participating funds and a $75,000 fee has been paid by the participating funds to State Street as agent of the syndicated committed line of credit. In addition, a commitment fee of 0.21% per annum on any unutilized portion of the committed line of credit is allocated to the participating funds based on their relative net assets and paid quarterly. During the reporting period, the fund had no borrowings against these arrangements.

Federal taxes It is the policy of the fund to distribute all of its taxable income within the prescribed time period and otherwise comply with the provisions of the Internal Revenue Code of 1986, as amended (the Code), applicable to regulated investment companies. It is also the intention of the fund to distribute an amount sufficient to avoid imposition of any excise tax under Section 4982 of the Code.

The fund is subject to the provisions of Accounting Standards Codification 740 Income Taxes (ASC 740). ASC 740 sets forth a minimum threshold for financial statement recognition of the benefit of a tax position taken or expected to be taken in a tax return. The fund did not have a liability to record for any unrecognized tax benefits in the accompanying financial statements. No provision has been made for federal taxes on income, capital gains or unrealized appreciation on securities held nor for excise tax on income and capital gains. Each of the fund’s federal tax returns for the prior three fiscal years remains subject to examination by the Internal Revenue Service.

The fund may also be subject to taxes imposed by governments of countries in which it invests. Such taxes are generally based on either income or gains earned or repatriated. The fund accrues and applies such taxes to net investment income, net realized gains and net unrealized gains as income and/or capital gains are earned. In some cases, the fund may be entitled to reclaim all or a portion of such taxes, and such reclaim amounts, if any, are reflected as an asset on the fund’s books. In many cases, however, the fund may not receive such amounts for an extended period of time, depending on the country of investment.

Distributions to shareholders Distributions to shareholders from net investment income, if any, are recorded by the fund on the ex-dividend date. Distributions from capital gains, if any, are recorded on the ex-dividend date and paid at least annually. The amount and character of income and gains to be distributed are determined in accordance with income tax regulations, which may differ from generally accepted accounting principles. These differences include temporary and/or permanent differences from losses on wash sale transactions, from foreign currency gains and losses, from unrealized gains and losses on certain futures contracts, from unrealized gains and losses on passive foreign investment companies, from straddle loss deferrals, from income on swap contracts and from interest-only securities. Reclassifications are made to the fund’s capital accounts to reflect income and gains available for distribution (or available capital loss carryovers) under income tax regulations. At the close of the reporting period, the fund reclassified $8,703,936 to increase undistributed net investment income, $28,546 to increase paid-in capital and $8,732,482 to increase accumulated net realized loss.

Tax cost of investments includes adjustments to net unrealized appreciation (depreciation) which may not necessarily be final tax cost basis adjustments, but closely approximate the tax basis unrealized gains and losses that may be realized and distributed to shareholders. The tax basis components of distributable earnings and the federal tax cost as of the close of the reporting period were as follows:

Unrealized appreciation  $454,336,498 
Unrealized depreciation  (118,217,833) 
Net unrealized appreciation  336,118,665 
Undistributed ordinary income  43,147,104 
Undistributed short-term gains  1,679,665 
Undistributed long-term gains  39,791,513 
Cost for federal income tax purposes  $1,927,097,134 

 

Expenses of the Trust Expenses directly charged or attributable to any fund will be paid from the assets of that fund. Generally, expenses of the Trust will be allocated among and charged to the assets of each fund on a basis that the Trustees deem fair and equitable, which may be based on the relative assets of each fund or the nature of the services performed and relative applicability to each fund.

 

Dynamic Asset Allocation Growth Fund 119 

 


 

Note 2: Management fee, administrative services and other transactions

The fund pays Putnam Management a management fee (based on the fund’s average net assets and computed and paid monthly) at annual rates that may vary based on the average of the aggregate net assets of all open-end mutual funds sponsored by Putnam Management (excluding net assets of funds that are invested in, or that are invested in by, other Putnam funds to the extent necessary to avoid “double counting” of those assets). Such annual rates may vary as follows:

0.750%  of the first $5 billion,  0.550%  of the next $50 billion, 
0.700%  of the next $5 billion,  0.530%  of the next $50 billion, 
0.650%  of the next $10 billion,  0.520%  of the next $100 billion and 
0.600%  of the next $10 billion,  0.515%  of any excess thereafter. 

 

For the reporting period, the management fee represented an effective rate (excluding the impact from any expense waivers in effect) of 0.591% of the fund’s average net assets.

Putnam Management has contractually agreed, through January 30, 2025, to waive fees and/or reimburse the fund’s expenses to the extent necessary to limit the cumulative expenses of the fund, exclusive of brokerage, interest, taxes, investment-related expenses, extraordinary expenses, acquired fund fees and expenses and payments under the fund’s investor servicing contract, investment management contract and distribution plans, on a fiscal year-to-date basis to an annual rate of 0.20% of the fund’s average net assets over such fiscal year-to-date period. During the reporting period, the fund’s expenses were not reduced as a result of this limit.

PIL is authorized by the Trustees to manage a separate portion of the assets of the fund as determined by Putnam Management from time to time. Putnam Management pays a quarterly sub-management fee to PIL for its services at an annual rate of 0.25% of the average net assets of the equity and asset allocation portion of the fund managed by PIL and 0.20% of the average net assets of the fixed-income portion of the fund managed by PIL.

PAC is authorized by the Trustees to manage a separate portion of the assets of the fund, as designated from time to time by Putnam Management or PIL. PAC did not manage any portion of the assets of the fund during the reporting period. If Putnam Management or PIL were to engage the services of PAC, Putnam Management or PIL, as applicable, would pay a quarterly sub-advisory fee to PAC for its services at the annual rate of 0.25% of the average net assets of the equity and asset allocation portion of the fund’s assets for which PAC is engaged as sub-advisor and 0.20% of the average net assets of the fixed-income portion of the fund’s assets for which PAC is engaged as sub-advisor.

Putnam Management voluntarily reimbursed the fund $617,208 for trading errors which occurred during the reporting period. The effect of the losses incurred and the reimbursement by Putnam Management of such amounts had no material impact on total return.

The fund reimburses Putnam Management an allocated amount for the compensation and related expenses of certain officers of the fund and their staff who provide administrative services to the fund. The aggregate amount of all such reimbursements is determined annually by the Trustees.

Custodial functions for the fund’s assets are provided by State Street. Custody fees are based on the fund’s asset level, the number of its security holdings and transaction volumes.

Putnam Investor Services, Inc., an affiliate of Putnam Management, provides investor servicing agent functions to the fund. Putnam Investor Services, Inc. received fees for investor servicing for class A, class B, class C, class R and class Y shares that included (1) a per account fee for each direct and underlying non-defined contribution account (retail account) of the fund; (2) a specified rate of the fund’s assets attributable to defined contribution plan accounts; and (3) a specified rate based on the average net assets in retail accounts. Putnam Investor Services, Inc. has agreed that the aggregate investor servicing fees for each fund’s retail and defined contribution accounts for these share classes will not exceed an annual rate of 0.25% of the fund’s average assets attributable to such accounts.

Class P shares paid a monthly fee based on the average net assets of class P shares at an annual rate of 0.01%.

Class R5 shares paid a monthly fee based on the average net assets of class R5 shares at an annual rate of 0.15%.

Class R6 shares paid a monthly fee based on the average net assets of class R6 shares at an annual rate of 0.05%.

120 Dynamic Asset Allocation Growth Fund 

 


 

During the reporting period, the expenses for each class of shares related to investor servicing fees were as follows:

Class A  $2,173,711  Class R  21,352 
Class B  21,343  Class R5  3,544 
Class C  211,684  Class R6  152,652 
Class P  12,979  Class Y  329,910 
    Total  $2,927,175 

 

The fund has entered into expense offset arrangements with Putnam Investor Services, Inc. and State Street whereby Putnam Investor Services, Inc.’s and State Street’s fees are reduced by credits allowed on cash balances. For the reporting period, the fund’s expenses were reduced by $53,709 under the expense offset arrangements.

Each Independent Trustee of the fund receives an annual Trustee fee, of which $1,941, as a quarterly retainer, has been allocated to the fund, and an additional fee for each Trustees meeting attended. Trustees also are reimbursed for expenses they incur relating to their services as Trustees.

The fund has adopted a Trustee Fee Deferral Plan (the Deferral Plan) which allows the Trustees to defer the receipt of all or a portion of Trustees fees payable on or after July 1, 1995. The deferred fees remain invested in certain Putnam funds until distribution in accordance with the Deferral Plan.

The fund has adopted an unfunded noncontributory defined benefit pension plan (the Pension Plan) covering all Trustees of the fund who have served as a Trustee for at least five years and were first elected prior to 2004. Benefits under the Pension Plan are equal to 50% of the Trustee’s average annual attendance and retainer fees for the three years ended December 31, 2005. The retirement benefit is payable during a Trustee’s lifetime, beginning the year following retirement, for the number of years of service through December 31, 2006. Pension expense for the fund is included in Trustee compensation and expenses in the Statement of operations. Accrued pension liability is included in Payable for Trustee compensation and expenses in the Statement of assets and liabilities. The Trustees have terminated the Pension Plan with respect to any Trustee first elected after 2003.

The fund has adopted distribution plans (the Plans) with respect to the following share classes pursuant to Rule 12b–1 under the Investment Company Act of 1940. The purpose of the Plans is to compensate Putnam Retail Management Limited Partnership, an indirect wholly-owned subsidiary of Putnam Investments, LLC, for services provided and expenses incurred in distributing shares of the fund. The Plans provide payments by the fund to Putnam Retail Management Limited Partnership at an annual rate of up to the following amounts (Maximum %) of the average net assets attributable to each class. The Trustees have approved payment by the fund at the following annual rate (Approved %) of the average net assets attributable to each class. During the reporting period, the class-specific expenses related to distribution fees were as follows:

  Maximum %  Approved %  Amount 
Class A  0.35%  0.25%  $3,731,453 
Class B  1.00%  1.00%  145,711 
Class C  1.00%  1.00%  1,450,616 
Class R  1.00%  0.50%  73,167 
Total      $5,400,947 

 

For the reporting period, Putnam Retail Management Limited Partnership, acting as underwriter, received net commissions of $180,335 from the sale of class A shares and received $67 and $2,244 in contingent deferred sales charges from redemptions of class B and class C shares, respectively.

A deferred sales charge of up to 1.00% is assessed on certain redemptions of class A shares. For the reporting period, Putnam Retail Management Limited Partnership, acting as underwriter, received $1,321 on class A redemptions.

Dynamic Asset Allocation Growth Fund 121 

 


 

Note 3: Purchases and sales of securities

During the reporting period, the cost of purchases and the proceeds from sales, excluding short-term investments, were as follows:

  Cost of purchases  Proceeds from sales 
Investments in securities, including TBA commitments (Long-term)  $4,387,097,294  $4,681,936,510 
U.S. government securities (Long-term)     
Total  $4,387,097,294  $4,681,936,510 

 

The fund may purchase or sell investments from or to other Putnam funds in the ordinary course of business, which can reduce the fund’s transaction costs, at prices determined in accordance with SEC requirements and policies approved by the Trustees. During the reporting period, purchases or sales of long-term securities from or to other Putnam funds, if any, did not represent more than 5% of the fund’s total cost of purchases and/or total proceeds from sales.

Note 4: Capital shares

At the close of the reporting period, there were an unlimited number of shares of beneficial interest authorized. Transactions, including, if applicable, direct exchanges pursuant to share conversions, in capital shares were as follows:

  YEAR ENDED 9/30/23  YEAR ENDED 9/30/22 
Class A  Shares  Amount  Shares  Amount 
Shares sold  4,478,930  $74,239,592  4,701,536  $85,429,246 
Shares issued in connection with         
reinvestment of distributions  1,509,844  23,689,444  12,246,134  230,349,774 
  5,988,774  97,929,036  16,947,670  315,779,020 
Shares repurchased  (9,469,265)  (157,002,860)  (9,834,687)  (177,226,776) 
Net increase (decrease)  (3,480,491)  $(59,073,824)  7,112,983  $138,552,244 
 
  YEAR ENDED 9/30/23  YEAR ENDED 9/30/22 
Class B  Shares  Amount  Shares  Amount 
Shares sold  6,924  $110,321  16,976  $309,083 
Shares issued in connection with         
reinvestment of distributions  11,521  176,160  201,807  3,701,134 
  18,445  286,481  218,783  4,010,217 
Shares repurchased  (617,498)  (9,930,545)  (528,028)  (9,407,075) 
Net decrease  (599,053)  $(9,644,064)  (309,245)  $(5,396,858) 
 
  YEAR ENDED 9/30/23  YEAR ENDED 9/30/22 
Class C  Shares  Amount  Shares  Amount 
Shares sold  853,683  $12,913,446  1,136,498  $19,058,832 
Shares issued in connection with         
reinvestment of distributions  114,682  1,656,013  1,649,114  28,579,154 
  968,365  14,569,459  2,785,612  47,637,986 
Shares repurchased  (3,262,333)  (49,661,237)  (3,125,478)  (51,737,710) 
Net decrease  (2,293,968)  $(35,091,778)  (339,866)  $(4,099,724) 

 

122 Dynamic Asset Allocation Growth Fund 

 


 

  YEAR ENDED 9/30/23  YEAR ENDED 9/30/22 
Class P  Shares  Amount  Shares  Amount 
Shares sold  2,860,734  $46,757,667  7,321,268  $131,847,053 
Shares issued in connection with         
reinvestment of distributions  407,933  6,494,292  2,392,652  45,699,657 
  3,268,667  53,251,959  9,713,920  177,546,710 
Shares repurchased  (20,740,470)  (346,480,930)  (5,980,029)  (107,608,659) 
Net increase (decrease)  (17,471,803)  $(293,228,971)  3,733,891  $69,938,051 
 
  YEAR ENDED 9/30/23  YEAR ENDED 9/30/22 
Class R  Shares  Amount  Shares  Amount 
Shares sold  105,616  $1,699,684  114,436  $2,009,295 
Shares issued in connection with         
reinvestment of distributions  14,373  219,469  155,809  2,851,306 
  119,989  1,919,153  270,245  4,860,601 
Shares repurchased  (283,016)  (4,523,364)  (444,455)  (8,092,488) 
Net decrease  (163,027)  $(2,604,211)  (174,210)  $(3,231,887) 
 
  YEAR ENDED 9/30/23  YEAR ENDED 9/30/22 
Class R5  Shares  Amount  Shares  Amount 
Shares sold  7,665  $122,053  47,818  $870,795 
Shares issued in connection with         
reinvestment of distributions  554  8,887  110,551  2,105,995 
  8,219  130,940  158,369  2,976,790 
Shares repurchased  (798,640)  (13,428,292)  (99,620)  (1,832,468) 
Net increase (decrease)  (790,421)  $(13,297,352)  58,749  $1,144,322 
 
  YEAR ENDED 9/30/23  YEAR ENDED 9/30/22 
Class R6  Shares  Amount  Shares  Amount 
Shares sold  3,650,254  $62,146,404  2,654,560  $48,782,453 
Shares issued in connection with         
reinvestment of distributions  376,849  6,006,976  2,758,486  52,687,081 
  4,027,103  68,153,380  5,413,046  101,469,534 
Shares repurchased  (4,459,549)  (74,850,770)  (5,198,053)  (94,534,287) 
Net increase (decrease)  (432,446)  $(6,697,390)  214,993  $6,935,247 
 
  YEAR ENDED 9/30/23  YEAR ENDED 9/30/22 
Class Y  Shares  Amount  Shares  Amount 
Shares sold  3,347,728  $56,516,273  3,535,831  $65,253,210 
Shares issued in connection with         
reinvestment of distributions  272,123  4,329,472  2,044,328  38,985,344 
  3,619,851  60,845,745  5,580,159  104,238,554 
Shares repurchased  (6,856,615)  (116,594,754)  (5,053,380)  (93,449,082) 
Net increase (decrease)  (3,236,764)  $(55,749,009)  526,779  $10,789,472 

 

Dynamic Asset Allocation Growth Fund 123 

 


 

Note 5: Affiliated transactions

Transactions during the reporting period with any company which is under common ownership or control were as follows:

          Shares 
          outstanding 
          and fair 
  Fair value as  Purchase  Sale  Investment  value as 
Name of affiliate  of 9/30/22  cost  proceeds  income  of 9/30/23 
Short-term investments           
Putnam Short Term           
Investment Fund*  $148,416,010  $326,382,311  $375,683,637  $5,189,141  $99,114,684 
Total Short-term           
investments  $148,416,010  $326,382,311  $375,683,637  $5,189,141  $99,114,684 

 

* Management fees charged to Putnam Short Term Investment Fund have been waived by Putnam Management. There were no realized or unrealized gains or losses during the period.

Note 6: Market, credit and other risks

In the normal course of business, the fund trades financial instruments and enters into financial transactions where risk of potential loss exists due to changes in the market (market risk) or failure of the contracting party to the transaction to perform (credit risk). The fund may be exposed to additional credit risk that an institution or other entity with which the fund has unsettled or open transactions will default. Investments in foreign securities involve certain risks, including those related to economic instability, unfavorable political developments, and currency fluctuations. The fund may invest in higher-yielding, lower-rated bonds that may have a higher rate of default. The fund may invest a significant portion of its assets in securitized debt instruments, including mortgage-backed and asset-backed investments. The yields and values of these investments are sensitive to changes in interest rates, the rate of principal payments on the underlying assets and the market’s perception of the issuers. The market for these investments may be volatile and limited, which may make them difficult to buy or sell.

On July 27, 2017, the United Kingdom’s Financial Conduct Authority (“FCA”), which regulates LIBOR, announced its intention to cease compelling banks to provide the quotations needed to sustain LIBOR after 2021. ICE Benchmark Administration, the administrator of LIBOR, ceased publication of most LIBOR settings on a representative basis at the end of 2021 and ceased publication of a majority of U.S. dollar LIBOR settings on a representative basis after June 30, 2023. In addition, global regulators have announced that, with limited exceptions, no new LIBOR-based contracts should be entered into after 2021. LIBOR has historically been a common benchmark interest rate index used to make adjustments to variable-rate loans. It is used throughout global banking and financial industries to determine interest rates for a variety of financial instruments and borrowing arrangements. Actions by regulators have resulted in the establishment of alternative reference rates to LIBOR in most major currencies. Various financial industry groups have been planning for the transition away from LIBOR, but there are obstacles to converting certain longer-term securities and transactions to new reference rates. Markets are developing slowly and questions around liquidity in these rates and how to appropriately adjust these rates to mitigate any economic value transfer at the time of transition remain a significant concern. Neither the effect of the transition process nor its ultimate success can yet be known. The transition process might lead to increased volatility and illiquidity in markets that rely on LIBOR to determine interest rates. It could also lead to a reduction in the value of some LIBOR-based investments and reduce the effectiveness of related transactions, such as hedges. While some LIBOR-based instruments may contemplate a scenario where LIBOR is no longer available by providing for an alternative rate-setting methodology, not all may have such provisions and there may be significant uncertainty regarding the effectiveness of any such alternative methodologies. Since the usefulness of LIBOR as a benchmark could deteriorate during the transition period, these effects could occur at any time.

124 Dynamic Asset Allocation Growth Fund 

 


 

Note 7: Senior loan commitments

Senior loans are purchased or sold on a when-issued or delayed delivery basis and may be settled a month or more after the trade date, which from time to time can delay the actual investment of available cash balances; interest income is accrued based on the terms of the securities. Senior loans can be acquired through an agent, by assignment from another holder of the loan, or as a participation interest in another holder’s portion of the loan. When the fund invests in a loan or participation, the fund is subject to the risk that an intermediate participant between the fund and the borrower will fail to meet its obligations to the fund, in addition to the risk that the borrower under the loan may default on its obligations.

Note 8: Summary of derivative activity

The volume of activity for the reporting period for any derivative type that was held during the period is listed below and was based on an average of the holdings at the end of each fiscal quarter:

Purchased equity option contracts (contract amount)  $27,000 
Written equity option contracts (contract amount)  $23,000 
Futures contracts (number of contracts)  3,000 
Forward currency contracts (contract amount)  $139,400,000 
Centrally cleared interest rate swap contracts (notional)  $230,500,000 
OTC total return swap contracts (notional)  $354,000,000 
OTC credit default contracts (notional)  $6,600,000 
Centrally cleared credit default contracts (notional)  $36,800,000 

 

The following is a summary of the fair value of derivative instruments as of the close of the reporting period:

 

Fair value of derivative instruments as of the close of the reporting period   
  ASSET DERIVATIVES  LIABILITY DERIVATIVES 
Derivatives not         
accounted for as  Statement of    Statement of   
hedging instruments  assets and    assets and   
under ASC 815  liabilities location  Fair value  liabilities location  Fair value 
  Receivables, Net       
  assets — Unrealized       
Credit contracts  appreciation  $1,607,062*  Payables  $475,499 
Foreign exchange         
contracts  Receivables  1,594,295  Payables  1,034,680 
  Investments,       
  Receivables, Net       
  assets — Unrealized    Payables, Net assets —   
Equity contracts  appreciation  13,439,062*  Unrealized depreciation  5,089,304* 
  Receivables, Net       
  assets — Unrealized    Payables, Net assets —   
Interest rate contracts  appreciation  567,434*  Unrealized depreciation  3,828,806* 
Total    $17,207,853    $10,428,289 

 

* Includes cumulative appreciation/depreciation of futures contracts and/or centrally cleared swaps as reported in the fund’s portfolio. Only current day’s variation margin is reported within the Statement of assets and liabilities.

 

Dynamic Asset Allocation Growth Fund 125 

 


 

The following is a summary of realized and change in unrealized gains or losses of derivative instruments in the Statement of operations for the reporting period (Note 1):

Amount of realized gain or (loss) on derivatives recognized in net gain or (loss) on investments 
Derivatives not accounted      Forward     
for as hedging instruments      currency     
under ASC 815  Options  Futures  contracts  Swaps  Total 
Credit contracts  $—  $—  $—  $910,098  $910,098 
Foreign exchange contracts      (1,222,727)    $(1,222,727) 
Equity contracts  (216,080)  (15,271,068)    6,258,143  $(9,229,005) 
Interest rate contracts    (5,540,823)    356,861  $(5,183,962) 
Total  $(216,080)  $(20,811,891)  $(1,222,727)  $7,525,102  $(14,725,596) 

 

Change in unrealized appreciation or (depreciation) on derivatives recognized in net gain or (loss) 
on investments           
Derivatives not accounted      Forward     
for as hedging instruments      currency     
under ASC 815  Options  Futures  contracts  Swaps  Total 
Credit contracts  $—  $—  $—  $674,804  $674,804 
Foreign exchange contracts      455,929    $455,929 
Equity contracts  2,448,951  (10,024,095)    (2,277,564)  $(9,852,708) 
Interest rate contracts    3,433,698    22,097  $3,455,795 
Total  $2,448,951  $(6,590,397)  $455,929  $(1,580,663)  $(5,266,180) 

 

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Note 9: Offsetting of financial and derivative assets and liabilities

The following table summarizes any derivatives, repurchase agreements and reverse repurchase agreements, at the end of the reporting period, that are subject to an enforceable master netting agreement or similar agreement. For securities lending transactions or borrowing transactions associated with securities sold short, if any, see Note 1. For financial reporting purposes, the fund does not offset financial assets and financial liabilities that are subject to the master netting agreements in the Statement of assets and liabilities.

  Bank of America N.A. Barclays Bank PLC Barclays Capital, Inc. (clearing broker) BofA Securities, Inc. Citibank, N.A. Citigroup Global Markets, Inc. Credit Suisse International Goldman Sachs International HSBC Bank USA, National Association JPMorgan Chase Bank N.A. JPMorgan Securities LLC Merrill Lynch International Morgan Stanley & Co. International PLC NatWest Markets PLC State Street Bank and Trust Co. UBS AG Wells Fargo Bank, N.A. WestPac Banking Corp. Total
Assets:                                       
Centrally cleared interest rate                                       
swap contracts§  $—  $—  $20,290  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $20,290 
OTC Total return swap                                       
contracts*#    3,035,200            231,507                      3,266,707 
OTC Credit default                                       
contracts — protection sold*#                                       
OTC Credit default                                       
contracts — protection                                       
purchased*#            269,296  287,904  278,039      113,680  64,836  130,351            1,144,106 
Centrally cleared credit                                       
default contracts§                                       
Futures contracts§        84,600              223,508                308,108 
Forward currency contracts#  202,062        120,768      2,631    44,406      308,970  276,398  124,240  18,643    496,177  1,594,295 
Purchased options**#          8,863,441                            8,863,441 
Total Assets  $202,062  $3,035,200  $20,290  $84,600  $8,984,209  $269,296  $287,904  $512,177  $—  $44,406  $337,188  $64,836  $439,321  $276,398  $124,240  $18,643  $—  $496,177  $15,196,947 
Liabilities:                                       
Centrally cleared interest rate                                       
swap contracts§      90,991                                90,991 
OTC Total return swap                                       
contracts*#    2,608,036            279,324                      2,887,360 
OTC Credit default                                       
contracts — protection sold*#  71          272,243  45,538  68,076      37,979    51,592            475,499 
OTC Credit default                                       
contracts — protection                                       
purchased*#                                       
Centrally cleared credit                                       
default contracts§      21,696                                21,696 
Futures contracts§        89,976              6,469                96,445 
Forward currency contracts#  114,049        1,462      152,546  131,992  221,548      78,985    334,098        1,034,680 
Written options#          1,362,672                            1,362,672 
Total Liabilities  $114,120  $2,608,036  $112,687  $89,976  $1,364,134  $272,243  $45,538  $499,946  $131,992  $221,548  $44,448  $—  $130,577  $—  $334,098  $—  $—  $—  $5,969,343 
Total Financial and                                       
Derivative Net Assets  $87,942  $427,164  $(92,397)  $(5,376)  $7,620,075  $(2,947)  $242,366  $12,231  $(131,992)  $(177,142)  $292,740  $64,836  $308,744  $276,398  $(209,858)  $18,643  $—  $496,177  $9,227,604 
Total collateral received                                       
(pledged)†##  $87,942  $420,000  $—  $—  $7,483,000  $—  $242,366  $12,231  $(131,992)  $(177,142)  $130,000  $64,836  $270,000  $220,000  $(131,195)  $—  $—  $—   
Net amount  $—  $7,164  $(92,397)  $(5,376)  $137,075  $(2,947)  $—  $—  $—  $—  $162,740  $—  $38,744  $56,398  $(78,663)  $18,643  $—  $496,177   

 

128 Dynamic Asset Allocation Growth Fund  Dynamic Asset Allocation Growth Fund 129 

 


 

  Bank of America N.A. Barclays Bank PLC Barclays Capital, Inc. (clearing broker) BofA Securities, Inc.  Citibank, N.A. Citigroup Global Markets, Inc. Credit Suisse International Goldman Sachs International HSBC Bank USA, National Association JPMorgan Chase Bank N.A. JPMorgan Securities LLC Merrill Lynch International Morgan Stanley & Co. International PLC NatWest Markets PLC State Street Bank and Trust Co. UBS AG Wells Fargo Bank, N.A. WestPac Banking Corp. Total
Controlled collateral                                       
received (including TBA                                       
commitments)**  $115,335  $420,000  $—  $—  $7,483,000  $—  $260,000  $1,820,000  $—  $—  $130,000  $82,961  $270,000  $220,000  $—  $—  $—  $—  $10,801,296 
Uncontrolled collateral                                       
received  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $—  $— 
Collateral (pledged) (including                                       
TBA commitments)**  $—  $—  $—  $—  $—  $(204,747)  $—  $—  $(132,189)  $(219,660)  $(150,079)  $—  $—  $—  $(131,195)  $—  $(214,693)  $—  $(1,052,563) 

 

* Excludes premiums, if any. Included in unrealized appreciation and depreciation on OTC swap contracts on the Statement of assets and liabilities.

** Included with Investments in securities on the Statement of assets and liabilities.

Additional collateral may be required from certain brokers based on individual agreements.

# Covered by master netting agreement (Note 1).

## Any over-collateralization of total financial and derivative net assets is not shown. Collateral may include amounts related to unsettled agreements.

§ Includes current day’s variation margin only as reported on the Statement of assets and liabilities, which is not collateralized. Cumulative appreciation/(depreciation) for futures contracts and centrally cleared swap contracts is represented in the tables listed after the fund’s portfolio. Collateral pledged for initial margin on futures contracts and centrally cleared swap contracts, which is not included in the table above, amounted to $5,158,348 and $3,324,679, respectively.

Note 10: Of special note

On May 31, 2023, Franklin Resources, Inc. (“Franklin Resources”) and Great-West Lifeco Inc., the parent company of Putnam U.S. Holdings I, LLC (“Putnam Holdings”), announced that they have entered into a definitive agreement for a subsidiary of Franklin Resources to acquire Putnam Holdings in a stock and cash transaction.

As part of this transaction, Putnam Management, a wholly-owned subsidiary of Putnam Holdings and investment manager to the Putnam family of funds (the “Putnam Funds”), would become an indirect wholly-owned subsidiary of Franklin Resources.

The transaction is subject to customary closing conditions, including receipt of applicable regulatory approvals. Subject to such approvals and the satisfaction of these conditions, the transaction is currently expected to be consummated in the fourth quarter of 2023.

Under the Investment Company Act of 1940, as amended, consummation of the transaction will result in the automatic termination of the investment management contract between each Putnam Fund and Putnam Management and any related sub-management and sub-advisory contracts, where applicable. In anticipation of this automatic termination, on June 23, 2023, the Board of Trustees of the Putnam Funds approved a new investment management contract between each Putnam Fund and Putnam Management (and new sub-management and sub-advisory contracts, if applicable), which will be presented to the shareholders of each Putnam Fund for their approval at shareholder meetings in October 2023 or at any adjourned sessions of such meetings. Proxy solicitation materials related to these meetings have been made available to shareholders that held shares of the fund at the close of business on July 24, 2023.

130 Dynamic Asset Allocation Growth Fund  Dynamic Asset Allocation Growth Fund 131 

 


 

Federal tax information (Unaudited)

Pursuant to §852 of the Internal Revenue Code, as amended, the fund hereby designates $43,770,664 as a capital gain dividend with respect to the taxable year ended September 30, 2023, or, if subsequently determined to be different, the net capital gain of such year.

The fund designated 31.91% of ordinary income distributions as qualifying for the dividends received deduction for corporations.

For the reporting period, the fund hereby designates 59.42%, or the maximum amount allowable, of its taxable ordinary income distributions as qualified dividends taxed at the individual net capital gain rates.

For the reporting period, pursuant to §871(k) of the Internal Revenue Code, the fund hereby designates $13,101,227 of distributions paid as qualifying to be taxed as interest-related dividends, and no monies to be taxed as short-term capital gain dividends for nonresident alien shareholders.

The Form 1099 that will be mailed to you in January 2024 will show the tax status of all distributions paid to your account in calendar 2023.

132 Dynamic Asset Allocation Growth Fund 

 


 


Dynamic Asset Allocation Growth Fund 133 

 


 

* Mr. Reynolds is an “interested person” (as defined in the Investment Company Act of 1940) of the fund and Putnam Investments. He is President and Chief Executive Officer of Putnam Investments, as well as the President of your fund and each of the other Putnam funds.

The address of each Trustee is 100 Federal Street, Boston, MA 02110.

As of September 30, 2023, there were 89 mutual funds, 4 closed-end funds, and 12 exchange-traded funds in the Putnam funds complex. Each Trustee serves as Trustee of all funds in the Putnam funds complex.

Each Trustee serves for an indefinite term, until his or her resignation, retirement at age 75, removal, or death.

134 Dynamic Asset Allocation Growth Fund 

 


 

Officers
In addition to Robert L. Reynolds, the other officers of the fund are shown below:

James F. Clark (Born 1974)  Alan G. McCormack (Born 1964) 
Vice President and Chief Compliance Officer  Vice President and Derivatives Risk Manager 
Since 2016  Since 2022 
Chief Compliance Officer and Chief Risk Officer,  Head of Quantitative Equities and Risk, 
Putnam Investments, and Chief Compliance Officer,  Putnam Investments 
Putnam Management   
  Denere P. Poulack (Born 1968) 
Michael J. Higgins (Born 1976)  Assistant Vice President, Assistant Clerk, 
Vice President, Treasurer, and Clerk  and Assistant Treasurer 
Since 2010  Since 2004 
   
Jonathan S. Horwitz (Born 1955)  Janet C. Smith (Born 1965) 
Executive Vice President, Principal Executive Officer,  Vice President, Principal Financial Officer, Principal 
and Compliance Liaison  Accounting Officer, and Assistant Treasurer 
Since 2004  Since 2007 
  Head of Fund Administration Services, 
Richard T. Kircher (Born 1962)  Putnam Investments and Putnam Management 
Vice President and BSA Compliance Officer   
Since 2019  Stephen J. Tate (Born 1974) 
Assistant Director, Operational Compliance, Putnam  Vice President and Chief Legal Officer 
Investments and Putnam Retail Management  Since 2021 
  General Counsel, Putnam Investments, 
Martin Lemaire (Born 1984)  Putnam Management, and Putnam Retail Management 
Vice President and Derivatives Risk Manager   
Since 2022  Mark C. Trenchard (Born 1962) 
Risk Manager and Risk Analyst, Putnam Investments  Vice President 
  Since 2002 
Susan G. Malloy (Born 1957)  Director of Operational Compliance, Putnam 
Vice President and Assistant Treasurer  Investments and Putnam Retail Management 
Since 2007   
Head of Accounting and Middle Office Services,   
Putnam Investments and Putnam Management   

 

The principal occupations of the officers for the past five years have been with the employers as shown above, although in some cases they have held different positions with such employers. The address of each officer is 100 Federal Street, Boston, MA 02110.

 

Dynamic Asset Allocation Growth Fund 135 

 


 

Fund information

Founded over 85 years ago, Putnam Investments was built around the concept that a balance between risk and reward is the hallmark of a well-rounded financial program. We manage funds across income, value, blend, growth, sustainable, and asset allocation categories.

Investment Manager  Trustees  Richard T. Kircher 
Putnam Investment  Kenneth R. Leibler, Chair  Vice President and 
Management, LLC  Barbara M. Baumann, Vice Chair  BSA Compliance Officer 
100 Federal Street  Liaquat Ahamed   
Boston, MA 02110  Katinka Domotorffy  Martin Lemaire 
  Catharine Bond Hill  Vice President and 
Investment Sub-Advisors  Jennifer Williams Murphy  Derivatives Risk Manager 
Putnam Investments Limited  Marie Pillai   
16 St James’s Street  George Putnam III  Susan G. Malloy 
London, England SW1A 1ER  Robert L. Reynolds  Vice President and 
  Manoj P. Singh  Assistant Treasurer 
The Putnam Advisory Company, LLC  Mona K. Sutphen   
100 Federal Street    Alan G. McCormack 
Boston, MA 02110  Officers  Vice President and 
  Robert L. Reynolds  Derivatives Risk Manager 
Marketing Services  President   
Putnam Retail Management    Denere P. Poulack 
Limited Partnership  James F. Clark  Assistant Vice President, 
100 Federal Street  Vice President and  Assistant Clerk, and 
Boston, MA 02110  Chief Compliance Officer  Assistant Treasurer 
     
Custodian  Michael J. Higgins  Janet C. Smith 
State Street Bank  Vice President, Treasurer,  Vice President, 
and Trust Company  and Clerk  Principal Financial Officer, 
    Principal Accounting Officer, 
Legal Counsel  Jonathan S. Horwitz  and Assistant Treasurer 
Ropes & Gray LLP  Executive Vice President,   
  Principal Executive Officer,  Stephen J. Tate 
Independent Registered  and Compliance Liaison  Vice President and 
Public Accounting Firm    Chief Legal Officer 
PricewaterhouseCoopers LLP     
    Mark C. Trenchard 
    Vice President 

 

This report is for the information of shareholders of Putnam Dynamic Asset Allocation Growth Fund. It may also be used as sales literature when preceded or accompanied by the current prospectus, the most recent copy of Putnam’s Quarterly Performance Summary, and Putnam’s Quarterly Ranking Summary. For more recent performance, please visit putnam.com. Investors should carefully consider the investment objectives, risks, charges, and expenses of a fund, which are described in its prospectus. For this and other information or to request a prospectus or summary prospectus, call 1-800-225-1581 toll free. Please read the prospectus carefully before investing. The fund’s Statement of Additional Information contains additional information about the fund’s Trustees and is available without charge upon request by calling 1-800-225-1581.


 

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Item 2. Code of Ethics:
(a) The fund’s principal executive, financial and accounting officers are employees of Putnam Investment Management, LLC, the Fund’s investment manager. As such they are subject to a comprehensive Code of Ethics adopted and administered by Putnam Investments which is designed to protect the interests of the firm and its clients. The Fund has adopted a Code of Ethics which incorporates the Code of Ethics of Putnam Investments with respect to all of its officers and Trustees who are employees of Putnam Investment Management, LLC. For this reason, the Fund has not adopted a separate code of ethics governing its principal executive, financial and accounting officers.

(c) In January 2023, the Code of Ethics of Putnam Investments and Code of Ethics of Putnam Funds were amended. The key changes to the Putnam Investments Code of Ethics are as follows: (i) Prohibition on investments in a single stock ETFs and (ii) Revision to the 7-day blackout rule for Analysts. The key change to the Putnam Funds Code of Ethics was that the provisions of the Code of Ethics for employees of PanAgora Asset Management, inc. and any of its subsidiaries are excluded from the Putnam Funds’ Code of Ethics.

Item 3. Audit Committee Financial Expert:
The Funds’ Audit, Compliance and Risk Committee is comprised solely of Trustees who are “independent” (as such term has been defined by the Securities and Exchange Commission (“SEC”) in regulations implementing Section 407 of the Sarbanes-Oxley Act (the “Regulations”)). The Trustees believe that each member of the Audit, Compliance and Risk Committee also possesses a combination of knowledge and experience with respect to financial accounting matters, as well as other attributes, that qualifies him or her for service on the Committee. In addition, the Trustees have determined that each of Dr. Hill, Ms. Murphy and Mr. Singh qualifies as an “audit committee financial expert” (as such term has been defined by the Regulations) based on their review of his or her pertinent experience and education.The SEC has stated, and the funds’ amended and restated agreement and Declaration of Trust provides, that the designation or identification of a person as an audit committee financial expert pursuant to this Item 3 of Form N-CSR does not impose on such person any duties, obligations or liability that are greater than the duties, obligations and liability imposed on such person as a member of the Audit, Compliance and Risk Committee and the Board of Trustees in the absence of such designation or identification.

Item 4. Principal Accountant Fees and Services:
The following table presents fees billed in each of the last two fiscal years for services rendered to the fund by the fund’s independent auditor:


Fiscal year ended Audit Fees Audit-Related Fees Tax Fees All Other Fees

September 30, 2023 $145,689 $ — $31,330 $ —
September 30, 2022 $147,742 $ — $35,177 $ —

For the fiscal years ended September 30, 2023 and September 30, 2022, the fund’s independent auditor billed aggregate non-audit fees in the amounts of $251,962 and $333,460 respectively, to the fund, Putnam Management and any entity controlling, controlled by or under common control with Putnam Management that provides ongoing services to the fund.

Audit Fees represent fees billed for the fund’s last two fiscal years relating to the audit and review of the financial statements included in annual reports and registration statements, and other services that are normally provided in connection with statutory and regulatory filings or engagements.

Audit-Related Fees represent fees billed in the fund’s last two fiscal years for services traditionally performed by the fund’s auditor, including accounting consultation for proposed transactions or concerning financial accounting and reporting standards and other audit or attest services not required by statute or regulation.

Tax Fees represent fees billed in the fund’s last two fiscal years for tax compliance, tax planning and tax advice services. Tax planning and tax advice services include assistance with tax audits, employee benefit plans and requests for rulings or technical advice from taxing authorities.

Pre-Approval Policies of the Audit, Compliance and Risk Committee. The Audit, Compliance and Risk Committee of the Putnam funds has determined that, as a matter of policy, all work performed for the funds by the funds’ independent auditors will be pre-approved by the Committee itself and thus will generally not be subject to pre-approval procedures.

The Audit, Compliance and Risk Committee also has adopted a policy to pre-approve the engagement by Putnam Management and certain of its affiliates of the funds’ independent auditors, even in circumstances where pre-approval is not required by applicable law. Any such requests by Putnam Management or certain of its affiliates are typically submitted in writing to the Committee and explain, among other things, the nature of the proposed engagement, the estimated fees, and why this work should be performed by that particular audit firm as opposed to another one. In reviewing such requests, the Committee considers, among other things, whether the provision of such services by the audit firm are compatible with the independence of the audit firm.

The following table presents fees billed by the fund’s independent auditor for services required to be approved pursuant to paragraph (c)(7)(ii) of Rule 2–01 of Regulation S-X.


Fiscal year ended Audit-Related Fees Tax Fees All Other Fees Total Non-Audit Fees

September 30, 2023 $ — $220,632 $ — $ —
September 30, 2022 $ — $298,283 $ — $ —

Item 5. Audit Committee of Listed Registrants
Not applicable

Item 6. Schedule of Investments:
The registrant’s schedule of investments in unaffiliated issuers is included in the report to shareholders in Item 1 above.

Item 7. Disclosure of Proxy Voting Policies and Procedures For Closed-End Management Investment Companies:
Not applicable

Item 8. Portfolio Managers of Closed-End Investment Companies
Not Applicable

Item 9. Purchases of Equity Securities by Closed-End Management Investment Companies and Affiliated Purchasers:
Not applicable

Item 10. Submission of Matters to a Vote of Security Holders:
Not applicable

Item 11. Controls and Procedures:
(a) The registrant’s principal executive officer and principal financial officer have concluded, based on their evaluation of the effectiveness of the design and operation of the registrant’s disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the design and operation of such procedures are generally effective to provide reasonable assurance that information required to be disclosed by the registrant in this report is recorded, processed, summarized and reported within the time periods specified in the Commission’s rules and forms.

(b) Changes in internal control over financial reporting: Not applicable

Item 12. Disclosures of Securities Lending Activities for Closed-End Management Investment Companies:
Not Applicable

Item 13. Exhibits:
(a)(1) The Code of Ethics of The Putnam Funds, which incorporates the Code of Ethics of Putnam Investments, is filed herewith

(a)(2) Separate certifications for the principal executive officer and principal financial officer of the registrant as required by Rule 30a-2(a) under the Investment Company Act of 1940, as amended, are filed herewith.

(b) The certifications required by Rule 30a-2(b) under the Investment Company Act of 1940, as amended, are filed herewith.

SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Putnam Asset Allocation Funds
By (Signature and Title):
/s/ Janet C. Smith
Janet C. Smith
Principal Accounting Officer

Date: November 27, 2023
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By (Signature and Title):
/s/ Jonathan S. Horwitz
Jonathan S. Horwitz
Principal Executive Officer

Date: November 27, 2023
By (Signature and Title):
/s/ Janet C. Smith
Janet C. Smith
Principal Financial Officer

Date: November 27, 2023
EX-99.CERT 2 b_250certifications.htm CERTIFICATIONS b_250certifications.htm

Certifications

I, Jonathan S. Horwitz, the Principal Executive Officer of the funds listed on Attachment A, certify that:

1. I have reviewed each report on Form N-CSR of the funds listed on Attachment A:

2. Based on my knowledge, each report does not contain any untrue statements of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by each report;

3. Based on my knowledge, the financial statements, and other financial information included in each report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in each report;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

a) designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which each report is being prepared;

b) designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c) evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of each report based on such evaluation; and

d) disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the period covered by the registrant’s report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed to each registrant’s auditors and the audit committee of each registrant’s board of directors (or persons performing the equivalent functions):

a) all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect each registrant’s ability to record, process, summarize, and report financial information; and

b) any fraud, whether or not material, that involves management or other employees who have a significant role in each registrant’s internal control over financial reporting.

Date: November 27, 2023

/s/ Jonathan S. Horwitz
_______________________
Jonathan S. Horwitz
Principal Executive Officer














Certifications

I, Janet C. Smith, the Principal Financial Officer of the funds listed on Attachment A, certify that:

1. I have reviewed each report on Form N-CSR of the funds listed on Attachment A:

2. Based on my knowledge, each report does not contain any untrue statements of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by each report;

3. Based on my knowledge, the financial statements, and other financial information included in each report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in each report;

4. The registrant’s other certifying officer and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

a) designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which each report is being prepared;

b) designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

c) evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of each report based on such evaluation; and

d) disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the period covered by the registrant’s report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

5. The registrant’s other certifying officer and I have disclosed to each registrant’s auditors and the audit committee of each registrant’s board of directors (or persons performing the equivalent functions):

a) all significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect each registrant’s ability to record, process, summarize, and report financial information; and

b) any fraud, whether or not material, that involves management or other employees who have a significant role in each registrant’s internal control over financial reporting.

Date: November 27, 2023

/s/ Janet C. Smith
_______________________
Janet C. Smith
Principal Financial Officer















Attachment A

Period (s) ended September 30, 2023

               Putnam California Tax Exempt Income Fund
               Putnam Diversified Income Trust
               Putnam Dynamic Asset Allocation Balanced Fund
               Putnam Dynamic Asset Allocation Growth Fund
               Putnam Dynamic Asset Allocation Conservative Fund
               Putnam Government Money Market Fund
               Putnam Master Intermediate Income Trust
               Putnam Money Market Fund
               Putnam Mortgage Securities Fund
               Putnam Tax Exempt Income Fund
EX-99.906 CERT 3 c_250noscertification.htm 906 CERTIFICATIONS c_250noscertification.htm

Section 906 Certifications

I, Jonathan S. Horwitz, the Principal Executive Officer of the Funds listed on Attachment A, certify that, to my knowledge:

1. The form N-CSR of the Funds listed on Attachment A for the period ended September 30, 2023 fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

2. The information contained in the Form N-CSR of the Funds listed on Attachment A for the period ended September 30, 2023 fairly presents, in all material respects, the financial condition and results of operations of the Funds listed on Attachment A.

Date: November 27, 2023

/s/ Jonathan S. Horwitz
______________________
Jonathan S. Horwitz
Principal Executive Officer














Section 906 Certifications

I, Janet C. Smith, the Principal Financial Officer of the Funds listed on Attachment A, certify that, to my knowledge:

1. The form N-CSR of the Funds listed on Attachment A for the period ended September 30, 2023 fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934; and

2. The information contained in the Form N-CSR of the Funds listed on Attachment A for the period ended September 30, 2023 fairly presents, in all material respects, the financial condition and results of operations of the Funds listed on Attachment A.

Date: November 27, 2023

/s/ Janet C. Smith
______________________
Janet C. Smith
Principal Financial Officer















Attachment A

Period (s) ended September 30, 2023

               Putnam California Tax Exempt Income Fund
               Putnam Diversified Income Trust
               Putnam Dynamic Asset Allocation Balanced Fund
               Putnam Dynamic Asset Allocation Growth Fund
               Putnam Dynamic Asset Allocation Conservative Fund
               Putnam Government Money Market Fund
               Putnam Master Intermediate Income Trust
               Putnam Money Market Fund
               Putnam Mortgage Securities Fund
               Putnam Tax Exempt Income Fund
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    February 2023

    Putnam’s Code of Ethics

    [GRAPHIC OMITTED: PUTNAM INVESTMENTS LOGO]


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  •  

    Putnam Investments Code of Ethics

    Putnam Investments is required by law to adopt a Code of Ethics (the “Code”). The objective of the Code is that Putnam’s employees comply with all applicable laws and avoid any actual, apparent, or potential conflict of interest that could be perceived to interfere with the fiduciary duty Putnam owes to its clients or with Putnam’s interests. It is the duty of Putnam’s employees ethically to handle all actual, apparent, and potential conflicts of interest that may arise. This Code of Ethics is designed to strengthen the trust and confidence our clients place in us and to demonstrate that our clients’ interests come first.

    Adherence to the Code is a fundamental condition of employment at Putnam. Every employee is expected to adhere to the requirements of the Code. Any employee failing to do so may be subject to disciplinary action, including financial penalties and termination of employment, as determined by the Code of Ethics Oversight Committee.

     

    Table of Contents

    Definitions  6 
    Section 1 —Personal Securities Rules for All Employees  8 
    1.1.  Pre-clearance Requirements  8 
    1.2.  Restricted List  9 
    1.3.  Prohibited Transactions  10 
    1.4.  Policy Regarding Frequency of Personal Trading  10 
    Section 2 —Putnam Mutual Funds, Closed-End Funds, and Exchange-Traded Funds  11 
    2.1.  Holding Putnam Mutual Fund Shares at Putnam  11 
    2.2.  Putnam Mutual Funds —Linked Accounts  11 
    2.3.  Putnam —Closed-End Funds  11 
    2.4.  Putnam Exchange-Traded Funds  11 
    Section 3 —Additional Rules for Access Persons and Certain Investment Professionals  12 
    3.1.  60-Day Short-Term Rule —All Access Persons  12 
    3.2.  7-Day Pre-Trade Rule (Portfolio Managers and Analysts)  12 
    3.3.  7-Day Post-Trade Rule (Portfolio Managers and Analysts)  13 
    3.4.  Contra-Trading Rule (Portfolio Managers)  14 
    3.5.  No Personal Benefit (Portfolio Managers and Analysts)  14 
    Section 4 —Reporting Requirements  15 
    4.1.  Brokerage/Securities Accounts —Initial and Annual Requirements  15 
    4.2.  Separate Provisions for Brokerage/Securities Accounts That Are Professionally Managed   
      (Discretionary) Accounts —Initial and Annual Requirements  15 
    4.3.  Account Confirmations and Statements  16 
    4.4.  Approved Brokers —U.S. Employees Only  16 
    Section 5 —Additional Reporting, Certification, and Training Requirements  17 
    5.1.  Initial/Annual Holdings Report —Access Persons Only  17 
    5.2.  Initial holdings report  17 
    5.3.  Annual holdings report  17 
    5.4.  Quarterly Transaction Report —Access Persons Only  17 
    5.5.  Annual Certification —All Employees  17 
    5.6.  Training Requirements —All Employees  18 
    5.7.  Maintenance and Distribution of the Code of Ethics  18 
    5.8.  Procedures and Timeliness  18 

     

    4 

     

     

    Section 6 —General Ethics Rules for All Employees  19 
    6.1.  Conflicts of Interest  19 
    6.2.  Outside Business Activities  19 
    6.3.  Charitable or Non-profit Roles/Role as Trustee or Fiduciary Outside Putnam Investments  20 
    6.4.  Service As a Public Official  20 
    6.5.  Family Members’ Conflict Policy  20 
    6.6.  CFA Institute Code of Ethics and Standards of Professional Conduct  21 
    6.7.  Business Ethics, Ombuds, and Hotlines  21 
    Section 7 —Material, Non-Public Information and Insider Trading  22 
    7.1.  Material, Non-Public Information and Insider Trading  22 
    7.2.  Reporting and Restrictions  22 
    7.3.  Special Provisions Applicable to Putnam Affiliates  22 
    7.4.  Putnam Equity Plan, TH Lee Funds, and Putnam Hedge Funds  23 
    7.5.  PIL Employees  23 
    Section 8 —Sanctions  24 
    Section 9 — Procedures for Determinations and Exemptions  25 
    Appendix  26 

     

    5 

     

     

    Definitions

    Access Person Putnam has identified certain employees as Access Persons due to their position or access to investment information. Access Persons are held to a higher standard under the Code than other employees. Please ask the Code of Ethics Officer if you have any question whether you are an Access Person. The following employees are Access Persons:

    •All employees of Putnam’s Investment Management Division

    •All employees of the Global Investment Strategies Group/Division

    •All employees of the International RFP Group

    •Employees of the Operations Division within the following specific groups and departments:

    » Fund Administration Group  » Investment Data Services 

     

    •Any employee in the following groups or divisions who reports directly to a member of the Operating Committee:

    » Investor Services Group  » Defined Contribution Investment Only Group 
    » Accounting and Middle Offices Services Group  » Global Distribution Division (including Putnam Retail 
    » Marketing and Corporate Communications  Management, Putnam Global Institutional 
    Division  Management, and Japan businesses) 

     

    •All members of Putnam’s Operating Committee

    •All employees of Putnam Investments Limited (PIL) and all other Putnam employees based in Europe

    •All directors and officers of a registered investment advisor affiliate, e.g., Putnam Investment Management, LLC (PIM), or The Putnam Advisory Company, LLC(PAC)

    •All employees who have access to My Putnam (unless access is limited to the Wall Street Journal, Factiva, or other systems that do not allow access to non-public information about Putnam products, as determined by the Code of Ethics Officer)

    •Employees who have systems access or other access to non-public information about any client’s purchase or sale of securities or to information regarding portfolio holdings or recommendations with respect to such purchases or sales

    •Others as determined by the Code of Ethics Officer, including certain employees in rotational programs

    Business or financial relationship refers to any type of existing or prospective arrangement between Putnam, on the one hand, and another entity or person, on the other hand, in which Putnam provides or receives financial consideration, goods, services, or advice. It also includes any investment by Putnam for itself or its clients. This means that there is a business or financial relationship between Putnam and each portfolio company.

    Closed-end fund means a fund that has a fixed number of shares outstanding and does not redeem its shares. Closed-end funds typically trade like stocks on an exchange.

    The Code of Ethics Officer and the Deputy Code of Ethics Officer are responsible for enforcing and interpreting the Code. The following are the current members of the Code of Ethics staff, each of whom can answer employee questions and provide other assistance regarding the Code:

    Code of Ethics Officer  James Clark  617-760-8939 
    Deputy Code of Ethics Officer  Akiko Lindholm  617-760-2177 
    Sr. Compliance Specialist  Dana Scribner-Shea  617-760-7182 

     

    6 

     

     

    Code of Ethics Oversight Committee has oversight responsibility for administering the Code of Ethics. Members include the Code of Ethics Officer and other members of Putnam’s senior management appointed by the Chief Executive Officer of Putnam. The Committee reviews and approves Code revisions, violations, and sanctions. In certain instances, requests for exemptions may require the approval of the Committee. The Committee meets on a quarterly basis or as otherwise necessary.

    Exchange-traded fund (ETF) means a fund (other than a closed-end fund) that can be traded on an exchange throughout the day like a stock. ETFs often track an index. Examples include (but are not limited to) SPDRs, WEBs, QQQQs, iShares, and HLDRs.

    Immediate Family means the Putnam employee’s spouse, domestic partner, fiancé(e), or other family members who are living in the same household or financially dependent on the Putnam employee. Financial dependence, for this purpose, means substantial and regular reliance by the family member on the Putnam employee to meet the family member’s financial obligations, including, for example, the costs of housing or educational expenses. Immediate Family also includes any other family members, including in-laws, for whom the Putnam employee can exercise investment discretion, regardless of whether or not they live in the same household.

    Private placement means any offering of a security not offered to the public and not requiring registration with the relevant securities authorities, including but not limited to, equity or debt issued by a privately held company, private funds, hedge funds, or other privately offered securities.

    Putnam means any or all of Putnam Investments, LLC and its subsidiaries (other than PanAgora Asset Management, Inc. and any of its subsidiaries), any one of which shall be a Putnam company.

    Putnam employee, or employee, means any employee of Putnam and, for purposes of all rules in Sections 1, 2, and 3, also includes the following:

    •Members of the Immediate Family of a Putnam employee;

    •Any trust in which a Putnam employee or Immediate Family member is a trustee with investment discretion;

    •Any account for a partnership in which a Putnam employee or Immediate Family member is a general partner or a partner with investment discretion;

    •Any closely held entity (such as a partnership, limited liability company, or corporation) in which a Putnam employee or Immediate Family member holds a controlling interest and with respect to which he or she has investment discretion;

    •Any account (including any retirement, pension, deferred compensation, or similar account) in which a Putnam employee or Immediate Family member has a substantial economic interest and over which the Putnam employee or Immediate Family member exercises investment discretion;

    •Any account other than a Putnam client account that receives investment advice of any sort from the employee or Immediate Family member, or as to which the employee or Immediate Family member has investment discretion.

    Putnam ETF means any exchange-traded fund managed, sub-advised, and/or sponsored by Putnam Investments and its investment adviser subsidiaries.

    Security The instruments required to be pre-cleared under Section 1.1 are considered to be securities for purposes of this Code and are also required to be reported by Access Persons under Section 4. In addition, transactions in exchange- traded funds (ETFs), exchange-traded notes (ETNs), exchange-traded commodities (ETCs), options, futures, and other derivative securities are required to be reported by Access Persons under Section 4, even for those instruments that are not required to be pre-cleared pursuant to Section 1.1(c).

    7 

     

     

    Section 1 — Personal Securities Rules for All Employees

    Putnam maintains the Code of Ethics PTA system to assist employees in fulfilling their obligations under the Code of Ethics. This system can be accessed by selecting the Code of Ethics PTA link, which appears on Putnam’s intranet page in the Secure information section under My information. This system allows the automated pre-clearance of publicly traded equities and other securities trading on major U.S. and other exchanges. To pre-clear an options contract for a publicly traded security, pre-clear the underlying security in the Code of Ethics PTA system. To request clearance to trade bonds or other securities, you must contact the Code of Ethics staff. Pre-clearance hours are 9:00 a.m. to 4:00 p.m. Eastern Time.

    1.1. Pre-clearance Requirements

    The pre-clearance requirements under this section apply to employees who are Access Persons.

    1.1(a) Employees must pre-clear all trades in the following securities:

    •Stocks of companies

    •Bonds and other debt instruments, including new offerings (including preferred stock, corporate, municipal, high-yield, and convertible bonds)

    •Options, warrants, and all other derivatives of any underlying securities that themselves require pre-clearance

    •Closed-end funds, including Putnam closed-end funds

    Employees must also pre-clear the following transactions:

    •Private placements and purchases of hedge funds or other private investment funds, which must receive pre-approval from the Code of Ethics Oversight Committee (sales of private placements, hedge funds, or other private investment funds do not need to be pre-cleared; however, they must be reported)

    •Donating or gifting of securities

    •Shares purchased by subscription or by mail (if purchasing directly from a company’s transfer agent by check, you must pre-clear the day the check is to be mailed)

    •Tendering securities from your personal account

    •Loans, or guarantees of obligations, being made to non-family members with whom Putnam has a business or financial relationship

    •Exercising rights to purchase shares of a company’s stock (other than involuntary exercises)

    •Exercising options or warrants to acquire shares of a company’s stock (other than involuntary exercises as set forth under Section 1.1(c))

    1.1(b) Provisions Applicable to Pre-clearances

    Apre-clearance is only valid for trading on the day it is obtained. However, trades by employees in Putnam’s Asian or European offices, or trades by any employees in securities listed on Asian or European stock exchanges, may be executed within one business day after pre-clearance is obtained. If the Code of Ethics system does not recognize a security, if an employee is unable to use the system, or if he or she has any questions with respect to the system or pre-clearance, the employee must contact the Code of Ethics staff.

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    1.1(c) Exceptions from Pre-clearance Requirements

    Pre-clearance is not required for certain transactions. (Please note that reporting may still be required for Access Persons even when pre-clearance is not required. See Sections 4 and 5 for reporting requirements.) Pre-clearance is not required for:

    •Open-end mutual funds

    •Currencies and currency forwards, including cryptocurrencies

    •Commodities

    •Treasury securities and other U.S. and other sovereign government debt (Please note that agency securities, such as securities issued by Fannie Mae and Freddie Mac, require pre-clearance.)

    •Certificates of deposit (CDs), commercial paper, repurchase agreements, bankers’ acceptances, and other money market instruments

    •Options and futures and all other derivatives based on an index of securities

    •Exchange-traded funds (ETFs) other than single-stock ETFs, exchange-traded notes (ETNs), and exchange-traded commodities (ETCs)

    •Putnam ETFs (however, certain investment professionals need to pre-clear trades in Putnam ETFs — see Section 1.1(d) below)

    •Trades in approved discretionary accounts (see Section 4.2 for additional information)

    •Transactions that are involuntary (i.e., not initiated by the employee or an Immediate Family member covered under the Code), including dividend reinvestments under an automatic program of a publicly traded issuer and broker actions not initiated by the employee, such as option assignments or sales out of the brokerage account to cover fees or margin calls (provided the employee may not have withdrawn funds from the margin account in the prior 10 days)

    1.1(d) Putnam ETFs Pre-clearance Rule for Certain Investment Professionals

    Personnel in the Equity Trading and Capital Markets groups, Portfolio Managers of any Putnam ETF, and any other Putnam personnel designated by the Code of Ethics Officer must pre-clear personal trades in Putnam ETFs by contacting the Code of Ethics staff. To enable timely processing, requests should be placed with the Code of Ethics staff by 12:00 p.m. on the day of the trade; requests are good only for the trading day on which they are submitted.

    1.2. Restricted List

    The Restricted List rule under this section applies to employees who are Access Persons.

    Employees may not trade in securities that are on Putnam’s Restricted List, except as set forth below under “Large-/ Mid-Cap Exemption.” There are a number of reasons why a security may appear on the Restricted List, and securities are placed on the Restricted List under criteria, and in specific circumstances, as determined by the Code of Ethics Officer or the Code of Ethics Oversight Committee. If a security is not on the Restricted List, other classes of securities of the same issuer (e.g., preferred or convertible preferred stock) may be on the Restricted List. It is the employee’s responsibility to identify with particularity the class of securities being pre-cleared. Bonds are generally restricted at the issuer level.

    Large-/Mid-Cap Exemption An employee may trade up to $25,000 in principal amount of the shares of a security appearing on the Restricted List if it is an equity security of an issuer with a market capitalization greater than $2 billion. However, these transactions must still be pre-cleared. Market capitalization is defined as outstanding shares multiplied by current price per share.

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    1.3. Prohibited Transactions

    The following transactions and activities are prohibited for all employees:

    1. Good-until-canceled orders (GTC). Any order not executed on the day of pre-clearance must be resubmitted for pre-clearance before being executed on a subsequent day.

    2. Short sales of any security that is subject to pre-clearance requirements. However, short sales against the box are permitted. In addition, opening an option position that would result in a short position in the underlying security upon assignment or expiration is also prohibited (i.e., buying a put option or selling a call option without owning a number of shares at least equal to the delivery obligation under the contract is prohibited). Purchasing a put option or selling a call option would not be considered acceptable if the only position covering such option would be another option position, such as purchasing a call option or selling a put option to avoid a violation.

    3. Purchasing equity securities in an initial public offering (IPO). Although exceptions from this prohibition will rarely be granted, employees may request an exemption from the Code of Ethics Officer, who may grant exceptions in unusual cases such as when an Immediate Family member’s association or employment with the issuer warrants consideration or when the employee has had a pre-existing status for at least two years as a policyholder or depositor in connection with a bank or insurance company conversion from mutual or cooperative form to stock form.

    4. Trading with material non-public information (see Section 7)

    5. Personal trading with Putnam client portfolios. Putnam employees may not buy or sell securities when the employee knows a Putnam client account is on the other side of the trade.

    6. Participating in an investment club

    7. Spread betting. PIL employees may not enter into any spread betting contracts on financial instruments.

    8. Opening a discretionary account (see Section 4.2) and trading securities requiring pre-clearance, without obtaining proper advance approval for that account as required

    9. Investing in a public digital coin/token offering

    10. Investments in single-stock ETFs. Note: Investments in single-Treasury ETFs are permitted, but are reportable transactions for Access Persons.

    1.4. Policy Regarding Frequency of Personal Trading

    Putnam employees are not limited to a pre-determined number of trades in securities during a specified time frame. However, excessive trading by an employee can divert the employee’s attention from his or her responsibilities as an employee and increases the possibility of engaging in transactions that are in actual or apparent conflict with Putnam’s client accounts. In addition, excessive short-term trading by an employee in shares of a Putnam-managed fund can also create actual or apparent conflicts with other shareholders of such fund and may have other detrimental effects as described in the prospectus or other disclosure document for such fund. Putnam reserves the right to monitor the number of trades (including for these purposes trades in securities that are required to be pre-cleared under Section 1.1(a), shares of Putnam-managed funds, and other securities that are required to be reported under Section 5.1 or 5.2, such as ETFs, ETNs, ETCs, options, futures, and other derivative securities) executed by an employee and members of his or her Immediate Family and may review any such activity that appears to be excessive with the employee’s manager(s) and/or the Code of Ethics Oversight Committee, as deemed appropriate by the Code of Ethics Officer. The Code of Ethics Oversight Committee shall have the authority to address any circumstances of excessive trading in securities or excessive short-term trading in shares of a Putnam-managed fund in accordance with Section 8 of this Code.

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    Section 2 — Putnam Mutual Funds, Closed-End Funds, and Exchange-Traded Funds

    2.1. Holding Putnam Mutual Fund Shares at Putnam

    Putnam employees must hold shares of Putnam open-end U.S. mutual funds through accounts maintained at Putnam, with Putnam Retail Management (PRM) listed as the dealer of record. All transactions must be executed through Putnam and not through an outside broker or other intermediary.

    These requirements also apply to:

    •Self-directed IRA accounts holding Putnam fund shares;

    •Variable annuities and variable insurance contracts, such as Putnam/Hartford Capital Manager and Allstate Advisor, which invest in Putnam Variable Trusts (must list PRM as dealer but may be held at the insurer)

    In limited circumstances, retirement, pension, deferred compensation, health savings, and similar accounts (and variable insurance arrangements) that cannot be legally transferred to Putnam may be allowed to hold Putnam funds upon approval of the Code of Ethics Officer. For example, a spouse of a Putnam employee may have a 401(k)/Profit Sharing Plan with his or her employer that invests in Putnam funds. The employee must notify the Code of Ethics Officer in writing, provide the reason why the account cannot be transferred to Putnam, and arrange for all account statements and confirmations to be sent to the Code of Ethics staff, if approved.

    2.2. Putnam Mutual Funds — Linked Accounts

    All employees are required to ensure that their Immediate Family members’ accounts holding Putnam mutual funds are linked to comply with the requirements stated above and to permit monitoring for excessive short-term trading in accordance with Section 1.4. To ensure these accounts are linked, log on to Putnam’s intranet home page at http://intranet/home/index.shtml, and select Secure information -> My information -> Linked Putnam mutual fund accounts.

    2.3. Putnam — Closed-End Funds

    2.3(a) Pre-clearance and Reporting

    Putnam closed-end fund shares are subject to the same pre-clearance and reporting requirements as other stocks. A list of the Putnam closed-end funds can be obtained from the Code of Ethics staff.

    2.3(b) Special Rules Applicable to Portfolio Managers to Putnam Closed-End Funds, Group Heads in the Investment Division, Operating Committee members, and officers of the Putnam Funds

    Portfolio Managers to Putnam closed-end funds, Group Heads in Putnam’s Investment Division, Putnam Operating Committee members, and officers of the Putnam Funds will not receive clearance to engage in any combination of purchase and sale, or sale and purchase, of the shares of a given closed-end fund within six months of each other. Therefore, purchases should be made only if you intend to hold the shares more than six months, and sales should not be made if you plan to purchase more shares of that fund within six months.

    2.4. Putnam Exchange-Traded Funds

    Putnam employees may invest in Putnam ETFs, subject to the pre-clearance requirement set forth in Section 1.1(d) for certain investment professionals. However, Putnam employees must hold shares of Putnam ETFs in accounts maintained by an approved broker-dealer — see Section 4.4 below.

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    Section 3 — Additional Rules for Access Persons and Certain Investment Professionals

    3.1. 60-Day Short-Term Rule — All Access Persons

    Access Persons may not sell a security at a price higher than any price paid for that security within the past 60 calendar days, or buy a security at a price below which he or she sold the same security within the past 60 days. This rule applies to transactions across all accounts of the employee. All trades for the previous 60 days in all accounts will be compared to the trade date for the transaction in question to determine whether a violation has occurred. Thus, if within a 60-day period, an employee buys a security for $10, buys it again for $15, and then sells shares of this security for $12, this will be considered a violation even though some shares of the security in question were bought for a higher price. To further illustrate the rule, if an employee buys a security for $15 on one day, buys it again for $10 a year later, and then less than 60 days after the second purchase sells shares of this security for $12, this will be considered a violation even though some shares of the security in question were bought for a higher price more than 60 days earlier. Access Persons may also not open an option transaction for a contract that expires in 60 days or less. The holding period for securities acquired upon exercise of a purchased call option shall be calculated using the date of acquisition of the option (rather than the date of exercise of the option) as the starting point for the 60-day holding period. Further, this rule also applies to common stock and option exercise transactions. For example, an employee may purchase calls/call spreads, and he or she may buy/sell a common stock of the same security (because transactions in options and common stock shares are treated differently); however, if the employee plans to exercise the option, he or she need to ensure that it is not in the opposite direction of the common stock transaction (at a profit) that he or she traded within the past 60 days. Although portfolio managers and analysts may sell securities at a profit within 60 days of purchase in order to comply with the requirements of the 7-Day Pre-Trade and 7-Day Post-Trade Rules (see Sections 3.2 and 3.3), any profit must be disgorged and paid to charity.

    This 60-Day Short Term Rule will not apply to trades in ETFs, including Putnam ETFs.

    3.2. 7-Day Pre-Trade Rule (Portfolio Managers and Analysts)

    3.2(a) Portfolio Managers

    Purchases in a Client Account

    Before a portfolio manager places an order to purchase a security or related derivative for any Putnam client portfolio that he or she manages, he or she must sell that security or related derivative if he or she has purchased it in a personal account within the preceding seven calendar days.

    Sales in a Client Account

    When a portfolio manager enters an order to sell a security or related derivative for any Putnam client portfolio that he or she manages, he or she must disgorge to charity any losses avoided if he or she sold the security or related derivative in a personal account within the preceding seven calendar days. Disgorgements will be measured by the difference between the selling price for the personal account and the selling price for the client account, multiplied by the number of shares sold for the personal account.

    For certain designated sleeved funds or portfolios, if a portfolio manager (but not the Chief Investment Officer of Equities and Director of Equity Research, who are not eligible for this exception) does not actually manage the sleeves of the funds or portfolios, but rather is a named portfolio manager for the overall fund(s), and if the portfolio manager does not have any actual knowledge of day-to-day trade activities and upcoming changes in ratings of securities in the sleeves of the funds or portfolios, the Code of Ethics Officer, the Deputy Code of Ethics Officer, or their designee may override this rule 3.2(a).

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    3.2(b) Analysts

    Purchase/Outperform/Upgrade Recommendations

    Before an analyst (i) initiates coverage, (ii) makes a “purchase,” “outperform,” or similar recommendation, or (iii) upgrades any previous recommendation for a security or related derivative (including designation of a security for inclusion in the portfolio of Putnam Research Fund), he or she must sell that security or related derivative if he or she has purchased it in a personal account within the preceding seven calendar days.

    Sell/Underperform/Downgrade Recommendations

    When an analyst (i) makes a “sell,” “underperform,” or similar recommendation, (ii) downgrades any previous recommendation, or (iii) ceases coverage for a security or related derivative (including designation of a security for sale from the portfolio of Putnam Research Fund), he or she must disgorge to charity any losses avoided if he or she sold the security in a personal account within the preceding seven calendar days. Disgorgements will be measured by the difference between the selling price for the personal account and the price at the time that the recommendation is made, multiplied by the number of shares sold for the personal account.

    For certain designated sleeved funds or portfolios, if an analyst (but not the Chief Investment Officer of Equities and Director of Equity Research , who are not eligible for this exception) does not actually manage the sleeves of the funds or portfolios, but rather is a named portfolio manager for the overall fund(s), and if the analyst does not have any actual knowledge of day-to-day trade activities and upcoming changes in ratings of securities in the sleeves of the funds or portfolios, the Code of Ethics Officer, the Deputy Code of Ethics Officer, or their designee may override this rule 3.2(b).

    3.3. 7-Day Post-Trade Rule (Portfolio Managers and Analysts)

    3.3(a) Portfolio Managers

    Purchases in a Client Account

    No portfolio manager shall sell any security or related derivative in a personal account until seven calendar days have elapsed after the date of the most recent purchase of that security or related derivative by any Putnam client portfolio he or she manages or co-manages.

    Sales in a Client Account

    No portfolio managers shall purchase any security or related derivative in a personal account until seven calendar days have elapsed after the date of the most recent sale of that security or related derivative from any Putnam client portfolio that he or she manages or co-manages.

    For certain designated sleeved funds or portfolios, if a portfolio manager (but not the Chief Investment Officer of Equities and Director of Equity Research, who are not eligible for this exception) does not actually manage the sleeves of the funds or portfolios, but rather is a named portfolio manager for the overall fund(s), and if the portfolio manager does not have any actual knowledge of day-to-day trade activities and upcoming changes in ratings of securities in the sleeves of the funds or portfolios, the Code of Ethics Officer, the Deputy Code of Ethics Officer, or their designee may override this rule 3.3(a).

    3.3(b) Analysts

    Purchase/Outperform/Upgrade Recommendations

    No analyst shall sell any security or related derivative from a personal account until seven calendar days have elapsed after the date of (i) a “purchase,” “outperform,” or similar recommendation or (ii) any upgrade of a previous recommendation for that security or related derivative (including designation of a security for inclusion in the portfolio of Putnam Research Fund).

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    Sell/Underperform/Downgrade Recommendations

    No analyst shall purchase any security or related derivative in a personal account until seven calendar days have elapsed after the date of (i) a “sell,” “underperform,” or similar recommendation or (ii) any downgrade of a previous recommendation or ceasing coverage for that security or related derivative (including the removal of a security from the portfolio of Putnam Research Fund).

    For certain designated sleeved funds or portfolios, if an analyst (but not the Chief Investment Officer of Equities and Director of Equity Research, who are not eligible for this exception) does not actually manage the sleeves of the funds or portfolios, but rather is a named portfolio manager for the overall fund(s), and if the analyst does not have any actual knowledge of day-to-day trade activities and upcoming changes in ratings of securities in the sleeves of the funds or portfolios, the Code of Ethics Officer, the Deputy Code of Ethics Officer, or their designee may override this rule 3.3(b).

    3.4. Contra-Trading Rule (Portfolio Managers)

    No portfolio manager shall, without prior clearance and written approval (which may be satisfied by email) from the Chief Investment Officer and Code of Ethics Officer, sell in a personal account any securities or related derivative securities that are held in any Putnam client portfolio that he or she manages or co-manages. Contact the Code of Ethics Officer for a copy of the Contra-Trading Rule Clearance Form. For certain designated sleeved funds or portfolios, the Code of Ethics Officer, the Deputy Code of Ethics Officer, or their designee may permit a sale in the portfolio manager’s personal account without obtaining written approval from the Chief Investment Officer and Code of Ethics Officer, if the portfolio manager (but not the Chief Investment Officer of Equities and Director of Equity Research, who are not eligible for this exception) does not actually manage the sleeves of the funds or portfolios, but rather is a named portfolio manager for the overall fund(s), and if the portfolio manager does not have any actual knowledge of day-to-day trade activities and upcoming changes in ratings of securities in the sleeves of the funds or portfolios.

    3.5. No Personal Benefit (Portfolio Managers and Analysts)

    No portfolio manager shall cause, and no analyst shall recommend, an action that would cause a Putnam client to take action for the portfolio manager’s or analyst’s own personal benefit. A portfolio manager who trades in, or an analyst who recommends, particular securities for a Putnam client account in order to support the price of securities in his personal account, or who “front runs” a Putnam client order, is in violation of this rule.

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    Section 4 — Reporting Requirements

    4.1. Brokerage/Securities Accounts — Initial and Annual Requirements

    All employees (on their own behalf and on behalf of their Immediate Family members (see Definitions)) are required to report the existence of any accounts that have the capability of purchasing any securities. This rule includes all brokerage accounts, accounts held directly at an issuer’s transfer agent, and securities held in physical certificate form by an employee or any Immediate Family member of the employee, or any other accounts in which reportable securities can be traded and/or held. The only investment accounts excluded from this rule are accounts that are only permitted to hold open-end mutual funds (other than Putnam open-end funds) and no other investments, and Treasury Direct accounts, which can only purchase Treasury securities.

    To satisfy this requirement, a new employee must complete the Code of Ethics and Broker Account Certification, and Access Persons must also complete Initial Holdings Certification in the Code of Ethics PTA system, and supply the Code of Ethics Department with a copy of the most recent statement for each account, within the required time frame below:

    •Access Persons —within 10 days of hire

    •Non-access Persons—within 30 days of hire

    In addition, a new employee must obtain written approval from the Code of Ethics staff to maintain his/her reportable accounts within 30 days of hire.

    All current U.S. employees must contact the Code of Ethics staff and obtain written approval from the Code of Ethics staff prior to opening any new accounts outside of Putnam (including accounts being opened for Immediate Family members) and disclose them. This Rule includes all brokerage accounts (including a self-directed brokerage account in the Putnam 401(k) plan), accounts held directly at an issuer’s transfer agent, and securities held in physical certificate form by an employee or any Immediate Family member of the employee, or any other accounts in which reportable securities can be traded and/or held.

    Non-U.S. current employees opening a new account (including accounts being opened for Immediate Family members) must disclose them to the Code of Ethics Department prior to opening, or immediately after opening, the account in advance of the first personal securities transaction in the account.

    All employees will be required to certify annually that all accounts requiring disclosure are accurately listed in the Code of Ethics PTA system.

    4.2. Separate Provisions for Brokerage/Securities Accounts That Are Professionally Managed (Discretionary) Accounts — Initial and Annual Requirements

    If you wish to establish a professionally managed or discretionary account (including professionally managed or discretionary accounts being opened for Immediate Family members), where you completely turn over decision-making authority to a professional money manager who is not subject to this Code and you have no direct or indirect influence or control over the discretionary account, you must disclose the existence of the account and receive approval from the Code of Ethics staff in advance of the first personal securities transaction (new employees have 30 days to obtain the appropriate approval). You do not need to pre-clear or report securities transactions in these accounts. Please note that a discretionary account may not purchase an IPO or hold Putnam open-end mutual funds. The broker or advisor maintaining discretion over the account must be an independent third party, not affiliated with or related to a family member of the Putnam employee in any way.

    In order for the account to be considered discretionary, the employee must:

    1. Complete an initial certification in which both the employee and the broker/advisor certify that the Putnam employee or Immediate Family member does not participate in investment decisions on the account;

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    2. Complete an annual certification in which the employee certifies that the Putnam employee or Immediate Family member does not participate in investment decisions on the account, and does not have direct or indirect influence or control over the account;

    3. Respond, and arrange for the employee’s broker/advisor to respond, to such inquiries as deemed advisable by the Code of Ethics staff in their assessment of whether the account is discretionary; and

    4. Ensure that copies of broker statements are delivered to Putnam Investments.

    4.3. Account Confirmations and Statements

    All employees are required to ensure that copies of all confirmations and statements are delivered to Putnam for all accounts described in Section 4.1, and to ensure that copies of all statements (but not confirmations) are delivered to Putnam for all discretionary accounts described in Section 4.2. When the employee discloses the account as required, the Code of Ethics staff will issue a 407 letter or other communication to the entity where the employee’s account is held, requesting that confirmations and statements be sent to Putnam on the employee’s behalf. However, it is ultimately the employee’s responsibility to ensure that his or her broker has complied with this request. Employees in non-U.S. offices may be subject to different requirements with respect to the frequency of providing account confirmations and statements. Any such different requirements will be communicated to the employees by the Code of Ethics staff.

    If it is discovered that these reports are not being delivered to Putnam, the Code of Ethics staff will bring this issue to the employee’s attention and request he or she assist in rectifying the issue. If it is determined that a broker has failed to comply with requests to deliver these reports, Putnam reserves the right to require the employee to close the account within 30 days by transferring the account to another dealer willing to comply with this requirement (any trades as a result of a transfer must be pre-cleared). In cases where Putnam has an electronic reporting relationship established with a firm, Putnam may rely on this electronic reporting for monitoring and record keeping in lieu of receiving trade confirmations and statements via mail.

    4.4. Approved Brokers — U.S. Employees Only

    U.S. employees of Putnam are required to hold each of their personal accounts (including any retirement, pension, deferred compensation, or similar accounts) at a Putnam-approved broker that provides Putnam with an electronic broker feed. The list of approved brokers is posted to the Putnam Compliance intranet homepage and the Code of Ethics PTA system. In limited circumstances, employees may be allowed to hold personal accounts at a non-Putnam-approved broker (examples include retirement accounts at current employers of Immediate Family members and accounts that cannot legally be transferred to Putnam-approved brokers). In such a case, the employee must notify the Code of Ethics Officer in writing and provide the reason why the account cannot be transferred to a Putnam-approved broker or why the employee otherwise requests an exception be granted by the Code of Ethics Officer or Deputy Code of Ethics Officer. In the event an exception is granted, the employee must arrange for trade confirmations and account statements (quarterly) to be sent to the Code of Ethics staff.

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    Section 5 — Additional Reporting, Certification, and Training Requirements

    5.1. Initial/Annual Holdings Report — Access Persons Only

    Access Persons must disclose and certify their securities holdings, including all holdings for Immediate Family member accounts, within 10 days of hire (or within 10 days of becoming an Access Person) and then on an annual basis thereafter (within 45 days after the end of the year). The report of securities holdings must include all securities that require pre-clearance under Section 1.1, as well as holdings in non-U.S. sovereign government debt, ETFs, ETNs, ETCs, options, futures, and other derivative securities, and holdings of Putnam open-end U.S. mutual funds not held through a Putnam account and U.S. registered mutual funds to which Putnam acts as advisor or sub-advisor (see Section 4). Each of the initial and annual holdings reports must contain the following information:

    5.2. Initial holdings report

    •The title, number of shares, and principal amount of each security in which the Access Person had any direct or indirect beneficial ownership when the person became an Access Person,

    •The name of any broker, dealer, or bank with whom the Access Person maintained an account in which any securities could be held for the direct or indirect benefit of the Access Person as of the date the person became an Access Person; and

    •The date that the report is submitted by the Access Person.

    5.3. Annual holdings report

    •The title, number of shares, and principal amount of each security in which the Access Person had any direct or indirect beneficial ownership,

    •The name of any broker, dealer, or bank with whom the Access Person maintained an account in which any securities could be held for the direct or indirect benefit of the Access Person; and

    •The date that the report is submitted by the Access Person.

    5.4. Quarterly Transaction Report — Access Persons Only

    Access Persons must disclose and certify all their personal securities transactions, including transactions for Immediate Family member accounts, within 20 calendar days following the end of each quarter. If the 20th of a month after the end of a quarter falls on a holiday or weekend, the Code of Ethics Officer may extend the deadline. In addition to the securities requiring pre-clearance under Section 1.1, Access Persons are also required to disclose and certify all personal transactions in non-U.S. sovereign government debt, as well as ETFs, ETNs, ETCs, options, futures, and other derivative securities, and not just those requiring pre-clearance. The quarterly transaction report must contain the following information:

    •The date of the transaction, the title, the interest rate and maturity date (if applicable), the number of shares, and the principal amount of each transaction involved,

    •The nature of the transaction (i.e., purchase, sale, or any other type of acquisition or disposition),

    •The price of the security at which the transaction was effected,

    •The name of the broker, dealer, or bank with or through which the transaction was effected, and

    •The date that the report is submitted by the Access Person

    5.5. Annual Certification — All Employees

    Each calendar year, all employees will be required to certify that they have reviewed and understand the rules and requirements of the Code and that the list of brokerage accounts (for the employee and all Immediate Family members) disclosed in the Code of Ethics PTA system is accurate. An email notification will be sent informing employees of their requirement and the due date.

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    5.6. Training Requirements — All Employees

    As deemed necessary by the Code of Ethics staff, employees will be required to complete training on Putnam’s Code of Ethics. Email notifications will be sent notifying employees of the requirements and the due date.

    5.7. Maintenance and Distribution of the Code of Ethics

    When revisions are made to the Code of Ethics, all employees will receive a revised version of the Code. The Code will be available to all employees on Putnam’s intranet site. Hard copies may be requested by contacting the Code of Ethics staff.

    5.8. Procedures and Timeliness

    Most certifications and reports required by the Code are completed in the Code of Ethics PTA system. There are strict deadlines for these filings. Planned absences, vacations, and business trips are not valid excuses for failing to meet a deadline. Employees will receive instructions regarding these submissions and the due dates. Please contact the Code of Ethics staff for assistance.

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    Section 6 — General Ethics Rules for All Employees

    Putnam employees are expected to act ethically at all times in connection with their employment. In addition to complying with the specific provisions of this section, employees should contact the Code of Ethics staff or the Ombuds if they are not sure how to proceed in any circumstances involving ethical issues or questions.

    6.1. Conflicts of Interest

    Your obligation to act ethically at all times includes the ethical handling of actual, apparent, and potential conflicts of interest between personal and business affairs. Please note that when this Section 6.1 refers to a “conflict of interest,” it is referring to actual, apparent, and potential conflicts of interest. Conflicts of interest may arise in various circumstances, some of which are covered in the specific situations set forth in the other portions of this Section 6. However, it is not possible to set forth each specific situation under which a conflict of interest may arise.

    A conflict of interest arises when a person’s personal affairs interfere with the interests of Putnam or Putnam’s clients. A conflict of interest can also arise when an employee or a member of his or her Immediate Family takes an action or has an interest that may make it difficult to perform his or her work objectively and effectively. Conflicts of interest may arise when an employee or a member of his or her Immediate Family receives or grants improper personal benefits as a result of his or her position or in the event that an employee or a member of his or her Immediate Family enters into transactions or agreements with any entity or person with whom Putnam has a business or financial relationship. Putnam employees must recognize (including through their personal trading and conduct) that the firm’s clients always come first, that the employees and the firm must avoid any actual or potential abuse of our positions of trust and responsibility, and that the employees and the firm must never take inappropriate advantage of our positions.

    Given that actual, apparent, and potential conflicts of interest may often not be clear-cut, if you have any question or doubt whatsoever, you should consult the Code of Ethics Officer or Deputy Code of Ethics Officer prior to engaging in the activity in question. Any employee who becomes aware of a conflict, potential conflict, or the appearance of a conflict is strongly encouraged to bring it to the attention of the Code of Ethics Officer or Deputy Code of Ethics Officer.

    6.2. Outside Business Activities

    No Putnam employee shall serve as employee, officer, director, trustee, or general partner of a corporation or entity other than Putnam, without prior written approval of the Code of Ethics Officer, who may also confirm that the employee’s manager has approved such outside position. Requests for a role at a publicly traded company are especially disfavored and are closely reviewed. Permission will be granted only in extenuating circumstances.

    All employees must provide a written request seeking approval from the Code of Ethics Officer by entering the details of the proposed position in the Code of Ethics PTA system. Employees may not engage in any outside employment activity until they receive an email approving their request. Employees hired at Putnam with an outside position must disclose the position upon hire in the system and may be required to resign such position if the position presents conflicts of interest or other issues.

    FINRA-licensed employees under PRM also have an obligation to disclose outside positions to, and receive approval from, the PRM Compliance Department. Employees must also keep this information accurate by updating their profile in the Code of Ethics system and updating the PRM Compliance Department if they change or terminate a position previously approved.

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    6.3. Charitable or Non-profit Roles/Role as Trustee or Fiduciary Outside Putnam Investments

    6.3(a)

    An employee may serve as a volunteer, officer, director, or trustee of a charitable or not-for-profit institution, provided that the employee abides by the Code of Ethics with respect to any investment activity for which he or she has any discretion or input as a volunteer, officer, director, or trustee. The pre-clearance and reporting requirements of the Code of Ethics do not apply to the trading activities of such charitable or not-for-profit institutions for which an employee serves as a volunteer, officer, director, or trustee unless the employee has discretion for the account. You must contact the Code of Ethics staff if you are asked to serve in a role in which you may have discretion, investment, or financial authority for a charitable or not-for-profit institution to discuss whether such position is permissible and whether you must perform any additional actions prior to serving in such role.

    6.3(b)

    Except as stated below, no Putnam employee shall serve as a trustee, an executor, a custodian, or any other fiduciary, or as an investment advisor or a counselor for any account outside Putnam. Putnam employees may serve as a fiduciary with respect to a religious or charitable trust or foundation, provided that the employee abides by the Code of Ethics with respect to any investment activity for which she has any discretion or input. The pre-clearance and reporting requirements of the Code of Ethics apply to the trading activities of such a religious or charitable trust or foundation if the employee has discretion for the account.

    6.3(c) Family Trust or Estate Exception

    Putnam employees may serve as a fiduciary with respect to a family trust or estate, as long as the employee abides by all of the Rules of the Code of Ethics with respect to any investment activity over which he has any discretion.

    6.4. Service As a Public Official

    An employee seeking to serve in an official capacity (elected or unelected, with or without compensation) for any government, government agency, or instrumentality must contact the Code of Ethics Officer prior to serving in such capacity. The Code of Ethics Officer shall review such prospective service to determine whether the service could create any potential conflicts of interest for Putnam (e.g., service of a government body that can select investment managers for a public pension plan) and to determine any appropriate steps to address conflicts.

    6.5. Family Members’ Conflict Policy

    No employee or member of an employee’s Immediate Family shall have any direct or indirect personal financial interests in companies that do business with Putnam, unless such interest is disclosed and approved by the Code of Ethics Officer.

    6.5(a) Corporate Purchase of Goods and Services

    Putnam will not acquire goods and services from any firm in which a member of an employee’s Immediate Family serves as a sales representative or in a senior management capacity, or has an ownership interest (excluding normal investment holdings in public companies), unless permission is obtained from the Chief Financial Officer and the Code of Ethics Officer. Any employee who is aware of a proposal to purchase goods and services from a firm with which a member of the employee’s Immediate Family has one of these associations must notify the Chief Financial Officer and the Code of Ethics Officer.

    6.5(b) Portfolio Trading

    Putnam will not allocate any client trades to any firm that employs a member of an employee’s Immediate Family as a sales representative to Putnam (in a primary, secondary, or backup role). Any Putnam employee who is aware that an Immediate Family member serves as a broker-dealer’s sales representative to Putnam should inform the Code of Ethics Officer.

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    6.5(c) Definition of Immediate Family (specific to this rule)

    “Immediate Family” of an employee means (1) spouse, fiancé(e), or domestic partner of the employee, (2) any child, sibling, or parent of an employee and any person married to a child, sibling, or parent of an employee, and (3) any other person who lives in the same household as the employee.

    6.6. CFA Institute Code of Ethics and Standards of Professional Conduct

    All members of the Investment Division and any other CFA institute Members or Candidates must follow and abide by the spirit of the Code of Ethics and the Standards of Professional Conduct of the CFA Institute as in effect from time to time (see the Appendix for a copy of the version in force as of the date of the Putnam Investments Code). The text of the CFA Institute Code of Ethics and Standards of Professional Conduct can be found on the Putnam Compliance Department intranet home page, which is accessible from the Putnam intranet home page. The terms of Putnam’s Code of Ethics shall govern in any case where there is a conflict between the terms of this Code and the CFA Institute Code of Ethics and Standards of Professional Conduct. Please contact the Code of Ethics Officer with any questions.

    6.7. Business Ethics, Ombuds, and Hotlines

    6.7(a)

    If a Putnam employee suspects that fraudulent, illegal, or other irregular activity (including violations of the Code of Ethics) might be occurring at Putnam, the activity should be reported immediately to Putnam’s Controller, Chief Compliance Officer, or Code of Ethics Officer through the Ombuds or hotlines described below or through Putnam’s Human Resources department.

    6.7(b)

    Putnam has established the office of the corporate Ombuds as a resource to help employees address legal or ethical issues in the workplace and to allow employees to voice concerns or seek clarity on issues. The Ombuds provides a confidential, independent, and impartial source to employees to discuss potential violations of law or of company standards without fear of retribution, and serves as a neutral party with no vested interest in a particular outcome.

    6.7(c)

    An employee who does not feel comfortable reporting activity in the manner described in 6.7(a) may instead contact any of the following on an anonymous basis:

    •The Putnam Ethics hotline at 1-888-475-4210,

    •The Putnam Funds Trustees’ hotline at 1-866-858-4155, or

    •Putnam’s Ombuds at 1-866-ombuds7 (866-662-8377).

    6.7(d)

    Employees will not be retaliated against for reporting information in good faith and in accordance with this Code. Putnam will not terminate employment, demote, transfer to an undesirable assignment, or otherwise discriminate against or harass an employee for calling attention to suspected unethical or illegal acts. It is a violation of this Code to intimidate or impose any other form of retaliation on an employee who reports any actual or suspected illegal or unethical conduct. Putnam takes claims of retaliation very seriously and will promptly investigate allegations of retaliation, subjecting anyone found responsible for retaliating against an employee who reported unethical or illegal conduct to disciplinary action up to and including termination of employment. However, an employee who knowingly makes a false report may be subject to discipline.

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    Section 7 — Material, Non-Public Information and Insider Trading

    7.1. Material, Non-Public Information and Insider Trading

    Antifraud provisions of the U.S. securities laws as well as the laws of other countries generally prohibit persons who possess material, non-public information from trading on or communicating that information to others. Putnam’s policies, including the Insider Trading Policy that is disclosed along with other compliance policies on the Chief Compliance Officer’s Intranet page, call for strict compliance with such laws. Unlawful trading while in possession of material, non-public information is a very serious matter and can be a crime punishable by imprisonment. There is also significant monetary liability for an inside trader, which can include liability to private plaintiffs and/or the Securities and Exchange Commission, which can seek a court order requiring a violator to pay back profits, as well as penalties substantially greater than those profits. In certain cases, controlling persons of inside traders, including supervisors of inside traders or Putnam itself, can be liable for penalties.

    Employees found to have conducted this activity will be immediately referred to the Code of Ethics Oversight Committee or Putnam’s Chief Executive Officer to determine the appropriate sanction, up to and including termination.

    While employees in the Investment Division are most likely to come into contact with material, non-public information, the rules (and sanctions) in this area apply to all Putnam employees (see Section 7.2 for information on what to do if you believe you may have material, non-public information).

    7.2. Reporting and Restrictions

    Any employee who believes he or she is (or may be) in possession of material, non-public information must immediately contact Putnam’s Chief Compliance Officer or an attorney in Putnam’s Legal Department and provide details on the information received and the source. The employee must also take precautions to maintain the confidentiality of the information in question, and not share this information with anyone outside of Putnam’s Legal and Compliance Division. This provision does not, however, prevent any employee who suspects possible violations of law or regulation from providing such information to Putnam’s Controller, Chief Compliance Officer, or Code of Ethics Officer through the Ombuds or hotlines or through Putnam’s Human Resources department as described in Section 6.6 or to any governmental agency or entity, or self-regulatory authority, including but not limited to the Securities and Exchange Commission or the Financial Industry Regulatory Authority, or from making other disclosures that are protected under the whistleblower provisions of state or federal law or regulation.

    After reviewing the facts and circumstances, Putnam’s Chief Compliance Officer or Putnam’s Legal Department will make a determination as to whether possession of the information warrants restricting trading activity in the issuer’s securities for client accounts as well as personal securities transactions for employees or whether other steps are appropriate, such as the establishment of an information barrier or other trading restrictions.

    7.3. Special Provisions Applicable to Putnam Affiliates

    Any employee wishing to place a trade in the securities of Great-West Lifeco Inc., Power Financial Corporation, Power Corporation of Canada, or IGM Financial Inc. must contact the Code of Ethics Officer or the Deputy Code of Ethics Officer to request manual approval of the pre-clearance request. An employee requesting such approval must certify that he or she is not in possession of any material, non-public information regarding the company in which he or she is seeking to place a trade. The decision whether or not to grant the pre-clearance request is in the sole discretion of the Code of Ethics Officer and the Deputy Code of Ethics Officer. The Code of Ethics Officer and Deputy Code of Ethics Officer will reject any such request for pre-clearance made by (i) directors of a Putnam-branded subsidiary of Putnam Investments, LLC; and persons who hold the office of chief executive officer, chief operating officer, chief financial officer, president, vice- president, secretary, assistant secretary, treasurer, or assistant treasurer of Putnam or its Putnam-branded subsidiaries, and any other person who performs functions similar to those normally performed by a person holding such office (as determined by the Legal and Compliance Department) during the period beginning five weeks before and ending two full trading days after the issue of a press release announcing quarterly or annual financial results of Great-West Lifeco Inc.

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    7.4. Putnam Equity Plan, TH Lee Funds, and Putnam Hedge Funds

    Great-West Lifeco Inc. stock shares owned by Putnam Investments, LLC Equity Incentive Plan (or any successor plan) share- holders are administered by the Putnam HR department; therefore, holdings of such shares do not need to be reported under this Code. In addition, the exercise of rights under the Putnam Investment, LLC Equity Incentive Plan to acquire Great-West Lifeco Inc. stock and the sale of such stock during specified window periods does not need to be pre-cleared under this Code, and such transaction does not need to be reported on the quarterly transaction report for Access Persons. However, if an employee holds Great-West Lifeco Inc. stock shares outside of the Putnam Investments, LLC Equity Incentive Plan (for example, in a brokerage account), such brokerage account and the holding must be reported under this Code.

    Investments in Putnam hedge funds and in certain TH Lee private funds by employees are administered by the Putnam HR department. Therefore, employees do not need to pre-clear or report such funds under this Code.

    7.5. PIL Employees

    For PIL employees, certain topics are covered by the Market Abuse rules of the U.K. Financial Conduct Authority. PIL employees receive information on this topic in their annual instructor-led code of ethics and compliance training.

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    Section 8 — Sanctions

    The Code of Ethics Oversight Committee reviews violations of the Code by employees and approves sanctions that it believes fit the circumstances. These sanctions include written warnings, trading bans, suspension or termination of employment, and disgorgement of profits (or payment of losses avoided) from impermissible trading. Sanctions will apply even if the exception results from inadvertence rather than intentional behaviors, although the Committee’s belief that an employee has violated the Code of Ethics intentionally may result in more severe sanctions. Sanctions for subsequent violations (based on a rolling three-year measurement period) may be more severe than for an employee’s initial violation. Sanctions are communicated to the employee and the employee’s manager. All violations concerning the use of material, non-public information, failure to report inside information, or insider trading will be presented to the Code of Ethics Oversight Committee to determine the appropriate sanction, up to and including termination. Severe criminal penalties may also be imposed.

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    Section 9 — Procedures for Determinations and Exemptions

    No perceived ambiguity in the Code of Ethics shall excuse any violation. Any employee who has a question concerning the applicability of the Code or believes the Code to be ambiguous in a particular situation should request a determination from the Code of Ethics Officer in advance of the conduct. Employees may also request an exemption from the Code of Ethics if they do so in advance of the conduct or transaction sought to be exempted.

    Any employee seeking a determination or exemption shall provide the Code of Ethics Officer with such information as the Code of Ethics Officer deems necessary to render the determination or make a decision on the exemption.

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    Appendix


    [GRAPHIC OMITTED: CFA INSTITUTE LOGO]

    CODE OF ETHICS AND STANDARDS OF PROFESSIONAL CONDUCT

    PREAMBLE

    The CFA Institute Code of Ethics and Standards of Professional Conduct are fundamental to the values of CFA Institute and essential to achieving its mission to lead the investment profession globally by promoting the highest standards of ethics, education, and professional excellence for the ultimate benefit of society. High ethical standards are critical to maintaining the public’s trust in financial markets and in the investment profession. Since their creation in the 1960s, the Code and Standards have promoted the integrity of CFA Institute members and served as a model for measuring the ethics of investment professionals globally, regardless of job function, cultural differences, or local laws and regulations. All CFA Institute members (including holders of the Chartered Financial Analyst® [CFA®] designation) and CFA candidates must abide by the Code and Standards and are encouraged to notify their employer of this responsibility. Violations may result in disciplinary sanctions by CFA Institute. Sanctions can include revocation of membership, revocation of candidacy in the CFA Program, and revocation of the right to use the CFA designation.

    THE CODE OF ETHICS

    Members of CFA Institute (including CFA charterholders) and candidates for the CFA designation (“Members and Candidates”) must:

    • Act with integrity, competence, diligence, respect and in an ethical manner with the public, clients, prospective clients, employers, employees, colleagues in the investment profession, and other participants in the global capital markets.

    • Place the integrity of the investment profession and the interests of clients above their own personal interests.

    • Use reasonable care and exercise independent professional judgment when conducting investment analysis, making investment recommendations, taking investment actions, and engaging in other professional activities.

    • Practice and encourage others to practice in a professional and ethical manner that will reflect credit on themselves and the profession.

    • Promote the integrity and viability of the global capital markets for the ultimate benefit of society.

    • Maintain and improve their professional competence and strive to maintain and improve the competence of other investment professionals.

    STANDARDS OF PROFESSIONAL CONDUCT

    I. PROFESSIONALISM

    A. Knowledge of the Law. Members and Candidates must under-stand and comply with all applicable laws, rules, and regulations (including the CFA Institute Code of Ethics and Standards of Professional Conduct) of any government, regulatory organization, licensing agency, or professional association governing their professional activities. In the event of conflict, Members and Candidates must comply with the more strict law, rule, or regulation. Members and Candidates must not knowingly participate or assist in and must dissociate from any violation of such laws, rules, or regulations.

    B. Independence and Objectivity. Members and Candidates must use reasonable care and judgment to achieve and maintain independence and objectivity in their professional activities. Members and Candidates must not offer, solicit, or accept any gift, benefit, compensation, or consideration that reasonably could be expected to compromise their own or another’s independence and objectivity.

    C. Misrepresentation. Members and Candidates must not knowingly make any misrepresentations relating to investment analysis, recommendations, actions, or other professional activities.

    D. Misconduct. Members and Candidates must not engage in any professional conduct involving dishonesty, fraud, or deceit or commit any act that reflects adversely on their professional reputation, integrity, or competence.

    II. INTEGRITY OF CAPITAL MARKETS

    A. Material Nonpublic Information. Members and Candidates who possess material nonpublic information that could affect the value of an investment must not act or cause others to act on the information.

    B. Market Manipulation. Members and Candidates must not engage in practices that distort prices or artificially inflate trading volume with the intent to mislead market participants.

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    III. DUTIES TO CLIENTS

    A. Loyalty, Prudence, and Care. Members and Candidates have a duty of loyalty to their clients and must act with reasonable care and exercise prudent judgment. Members and Candidates must act for the benefit of their clients and place their clients’ interests before their employer’s or their own interests.

    B. Fair Dealing. Members and Candidates must deal fairly and objectively with all clients when providing investment analysis, making investment recommendations, taking investment action, or engaging in other professional activities.

    C. Suitability.

    1. When Members and Candidates are in an advisory relationship with a client, they must:

    a. Make a reasonable inquiry into a client’s or prospective client’s investment experience, risk and return objectives, and financial constraints prior to making any investment recommendation or taking investment action and must reassess and update this information regularly.

    b. Determine that an investment is suitable to the client’s financial situation and consistent with the client’s written objectives, mandates, and constraints before making an investment recommendation or taking investment action.

    c. Judge the suitability of investments in the context of the client’s total portfolio.

    2. When Members and Candidates are responsible for managing a portfolio to a specific mandate, strategy, or style, they must make only investment recommendations or take only investment actions that are consistent with the stated objectives and constraints of the portfolio.

    D. Performance Presentation. When communicating investment performance information, Members and Candidates must make reasonable efforts to ensure that it is fair, accurate, and complete.

    E. Preservation of Confidentiality. Members and Candidates must keep information about current, former, and prospective clients confidential unless:

    1. The information concerns illegal activities on the part of the client or prospective client,

    2. Disclosure is required by law, or

    3. The client or prospective client permits disclosure of the information.

    IV. DUTIES TO EMPLOYERS

    A. Loyalty. In matters related to their employment, Members and Candidates must act for the benefit of their employer and not deprive their employer of the advantage of their skills and abilities, divulge confidential information, or otherwise cause harm to their employer.

    B. Additional Compensation Arrangements. Members and Candidates must not accept gifts, benefits, compensation, or consideration that competes with or might reasonably be expected to create a conflict of interest with their employer’s interest unless they obtain written consent from all parties involved.

    C. Responsibilities of Supervisors. Members and Candidates must make reasonable efforts to ensure that anyone subject to their supervision or authority complies with applicable laws, rules, regulations, and the Code and Standards.

    V. INVESTMENT ANALYSIS, RECOMMENDATIONS, AND ACTIONS

    A. Diligence and Reasonable Basis. Members and Candidates must:

    1. Exercise diligence, independence, and thoroughness in analyzing investments, making investment recommendations, and taking investment actions.

    2. Have a reasonable and adequate basis, supported by appropriate research and investigation, for any investment analysis, recommendation, or action.

    B. Communication with Clients and Prospective Clients. Members and Candidates must:

    1. Disclose to clients and prospective clients the basic format and general principles of the investment processes they use to analyze investments, select securities, and construct port-folios and must promptly disclose any changes that might materially affect those processes.

    2. Disclose to clients and prospective clients significant limitations and risks associated with the investment process.

    3. Use reasonable judgment in identifying which factors are important to their investment analyses, recommendations, or actions and include those factors in communications with clients and prospective clients.

    4. Distinguish between fact and opinion in the presentation of investment analysis and recommendations.

    C. Record Retention. Members and Candidates must develop and maintain appropriate records to support their investment analyses, recommendations, actions, and other investment-related communications with clients and prospective clients.

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    VI. CONFLICTS OF INTEREST

    A. Disclosure of Conflicts. Members and Candidates must make full and fair disclosure of all matters that could reasonably be expected to impair their independence and objectivity or interfere with respective duties to their clients, prospective clients, and employer. Members and Candidates must ensure that such disclosures are prominent, are delivered in plain language, and communicate the relevant information effectively.

    B. Priority of Transactions. Investment transactions for clients and employers must have priority over investment transactions in which a Member or Candidate is the beneficial owner.

    C. Referral Fees. Members and Candidates must disclose to their employer, clients, and prospective clients, as appropriate, any compensation, consideration, or benefit received from or paid to others for the recommendation of products or services.

    VII. RESPONSIBILITIES AS A CFA INSTITUTE MEMBER OR CFA CANDIDATE

    A. Conduct as Participants in CFA Institute Programs. Members and Candidates must not engage in any conduct that compromises the reputation or integrity of CFA Institute or the CFA designation or the integrity, validity, or security of the CFA Institute programs.

    B. Reference to CFA Institute, the CFA Designation, and the CFA Program. When referring to CFA Institute, CFA Institute membership, the CFA designation, or candidacy in the CFA Program, Members and Candidates must not misrepresent or exaggerate the meaning or implications of membership in CFA Institute, holding the CFA designation, or candidacy in the CFA program.

    [GRAPHIC OMITTED: CFA INSTITUTE LOGO]

    www.cfainstitute.org

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    Putnam Investments | 100 Federal Street | Boston, MA02110 | putnam.com  HR104 332638 1/23 

     

    EX-99.CODE ETH 20 a_nf69mod10.htm

    THE PUTNAM FUNDS

    Code of Ethics

    Each of The Putnam Funds (the “Funds”) has determined to adopt this Code of Ethics with respect to certain activities by officers and Trustees of the Funds which might be deemed to create possible conflicts of interest and to establish reporting requirements and enforcement procedures with respect to such activities.

    I.Rules Applicable to Officers and Trustees Affiliated with Putnam Investments, LLC or Its Subsidiaries
    A.Incorporation of Adviser’s Code of Ethics. The provisions of the Code of Ethics for employees of Putnam Investments, LLC and its subsidiaries (other than PanAgora Asset Management, Inc. and any of its subsidiaries) (the “Putnam Investments Code of Ethics”), which is attached as Appendix A hereto, are hereby incorporated herein as the Funds’ Code of Ethics applicable to officers and Trustees of the Funds who are employees of the Funds or officers, directors or employees of Putnam Investments, LLC or its subsidiaries. A violation of the Putnam Investments Code of Ethics shall constitute a violation of the Funds’ Code of Ethics.
    B.Reports. Officers and Trustees of each of the Funds who are made subject to the Putnam Investments Code of Ethics pursuant to the preceding paragraph shall file the reports required by the Putnam Investments Code of Ethics with the Code of Ethics Officer designated therein. A report filed with the Code of Ethics Officer shall be deemed to be filed with each of the Funds of which the reporting individual is an officer or Trustee.
    C.Review and Reporting.
    (1)The Code of Ethics Officer shall cause the reported personal securities transactions to be compared with completed and contemplated portfolio transactions of each of the Funds to determine whether a violation of this Code may have occurred. Before making any determination that a violation has been committed by any person, the Code of Ethics Officer shall give such person an opportunity to supply additional explanatory material.
    (2)If the Code of Ethics Officer determines that a violation of any provision of this Code has or may have occurred, he shall submit his written determination, together with any additional explanatory material, to the Audit, Compliance and Risk Committee of the Funds at its next meeting when Code of Ethics matters are discussed.
    D.Sanctions. In addition to reporting violations of this Code to the Audit, Compliance and Risk Committee of the Funds as provided in Section I-C(2), the Code of Ethics
     
     

    Officer shall also report to such Committee any sanctions imposed with respect to such violations.

    II.Rules Applicable to Unaffiliated Trustees
    A.Definitions.
    (1)“Beneficial ownership” shall be interpreted in the same manner as it would be in determining whether a person is subject to the provisions of Section 16 of the Securities Exchange Act of 1934 and the rules and regulations thereunder.
    (2)“Control” means the power to exercise a controlling influence over the management or policies of a company, unless such power is solely the result of an official position with such company.
    (3)“Covered Person” means an affiliated person of the Fund, who is not made subject to the Putnam Investments Code of Ethics pursuant to Part I hereof.
    (4)“Interested Trustee” means a Trustee of a Fund who is an “interested person” of the Fund within the meaning of the Investment Company Act of 1940, as amended (the “Investment Company Act”).
    (5)“Purchase or sale of a security” includes, among other things, the writing of an option to purchase or sell a security.
    (6)“Security” shall have the same meaning as that set forth in Section 2(a)(36) of the Investment Company Act (in effect, all securities) except that it shall not include securities issued by the Government of the United States or an agency thereof, bankers’ acceptances, bank certificates of deposit, commercial paper and high-quality short-term debt investments, including repurchase agreements, and shares of registered open-end investment companies, but shall include any security convertible into or exchangeable for a security.
    (7)“Security Held or to be Acquired by a Fund” means: (i) any security, as defined herein, which, within the most recent 15 days: (A) is or has been held by the Fund, or (B) is being or has been considered by the Fund or Putnam Investments for purchase by the Fund, and (ii) any option to purchase or sell, and any security convertible into or exchangeable for, a security described in (i) above.
    (8)“Unaffiliated Trustee” means a Trustee who is not made subject to the Putnam Investments Code of Ethics pursuant to Part I hereof.
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    B.Prohibited Actions. No Covered Person, in connection with the purchase or sale, directly or indirectly, by such Covered Person of a security held or to be acquired by the Fund, shall:
    (1)Employ any device, scheme or artifice to defraud the Fund;
    (2)Make any untrue statement of a material fact to the Fund or omit to state a material fact necessary in order to make the statements made to the Fund, in light of the circumstances under which they are made, not misleading;
    (3)Engage in any act, practice or course of business that operates or would operate as a fraud or deceit on the Fund; or
    (4)Engage in any manipulative practice with respect to the Fund.
    C.Reporting.
    (1)Every Unaffiliated Trustee of a Fund shall file with the Funds’ Compliance Liaison a report containing the information described in Section II-C(2) of this Code with respect to purchases or sales of any security in which such Unaffiliated Trustee has, or by reason of such transaction acquires, any direct or indirect beneficial ownership, if such Trustee, at the time of that transaction, knew or, in the ordinary course of fulfilling his or her official duties as a Trustee of the Fund, should have known that, during the 15-day period immediately preceding or after the date of the transaction by the Trustee:
    (a)such security was or is to be purchased or sold by the Fund or
    (b)such security was or is being considered for purchase or sale by the Fund;

    provided, however, that an Unaffiliated Trustee shall not be required to make a report with respect to transactions effected for any account over which such person does not have any direct or indirect influence or control.

    (2)Every report shall be made not later than 10 days after the end of the calendar quarter in which the transaction to which the report relates was effected, and shall contain the following information:
    (a)The date of the transaction, the title, the number of shares, the interest rate and maturity date (if applicable) and the principal amount of each security involved;
    (b)The nature of the transaction (i.e., purchase, sale or any other type of acquisition or disposition);
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    (c)The price at which the transaction was effected;
    (d)The name of the broker, dealer or bank with or through whom the transaction was effected; and
    (e)The date that the report is submitted by each Unaffiliated Trustee.
    (3)Any such report may contain a statement that the report shall not be construed as an admission by the person making such report that he has any direct or indirect beneficial ownership in the security to which the report relates.
    (4)Notwithstanding anything to the contrary contained herein, an Unaffiliated Trustee who is an “interested person” of the Funds shall file the reports required by Rule 17j-1(d)(1) under the Investment Company Act with the Code of Ethics Officer of Putnam Investments. Such reports shall be reviewed by such Officer as provided in Section I-C(1) and any related violations shall be reported by him to the Audit, Compliance and Risk Committee as provided in Section I-C(2).
    D.Review and Reporting.
    (1)The Compliance Liaison of the Funds, in consultation with the Code of Ethics Officer of Putnam Investments, shall cause the reported personal securities transactions that he receives pursuant to Section II-C(1) to be compared with completed and contemplated portfolio transactions of the Funds to determine whether any prohibited action listed in Section II-B may have occurred.
    (2)Before making any determination that a violation of this Code has occurred, the Compliance Liaison shall give the person involved an opportunity to supply additional information regarding the transaction in question.
    E.Sanctions. If the Compliance Liaison determines that a violation of this Code has occurred, he shall so advise the Funds’ Audit, Compliance and Risk Committee, and provide the Committee with a report of the matter, including any additional information supplied by such person. The Committee may impose such sanctions as it deems appropriate.
    III.Miscellaneous
    A.Amendments to the Putnam Investments Code of Ethics. Any amendment to the Putnam Investments’ Code of Ethics shall be deemed an amendment to Section 1-A of this Code effective 30 days after written notice of such amendment shall have been received by the Chair of the Funds, unless the Trustees of the Funds expressly
    4 
     

    determine that such amendment shall become effective at an earlier or later date or shall not be adopted.

    B.Records. The Funds shall maintain records in the manner and to the extent set forth below, which records may be maintained on microfilm under the conditions described in Rule 31a-2(f)(1) under the Investment Company Act and shall be available for examination by representatives of the Securities and Exchange Commission.
    (1)A copy of this Code and any other code which is, or at any time within the past five years has been, in effect shall be preserved in an easily accessible place;
    (2)A record of any violation of this Code and of any action taken as a result of such violation shall be preserved in an easily accessible place for a period of not less than five years following the end of the fiscal year in which the violation occurs;
    (3)A copy of each report made by an officer or Trustee pursuant to this Code shall be preserved for a period of not less than five years from the end of the fiscal year in which it is made, the first two years in an easily accessible place;
    (4)A list of all persons who are, or within the past five years have been, required to make reports pursuant to this Code shall be maintained in an easily accessible place; and
    (5)To the extent any record required to be kept by this section is also required to be kept by Putnam Investments pursuant to the Putnam Investments’ Code of Ethics, Putnam Investments shall maintain such record on behalf of the Funds as well.
    C.Confidentiality. All reports of securities transactions and any other information filed with any Fund pursuant to this Code shall be treated as confidential, but are subject to review as provided herein and by personnel of the Securities and Exchange Commission.
    D.Interpretation of Provisions. The Trustees may from time to time adopt such interpretations of this Code as they deem appropriate.
    E.Delegation by Chair. The Chair of the Funds may from time to time delegate any or all of his or her responsibilities under this Code, either generally or as to specific instances, to such officer or Trustee of the Funds as he or she may designate.

     

    As revised January 27, 2023.

    5