Portfolio
of
Investments
(unaudited)
Lifecycle
Retirement
Income
Fund
August
31,
2022
1
Lifecycle
Retirement
Income
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.9%
a
DIRECT
REAL
ESTATE—5.8%
2,218,556
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/30/22;
cost
$23,659,718)
$
29,040,899
TOTAL
DIRECT
REAL
ESTATE
29,040,899
FIXED
INCOME—40.5%
11,104,946
TIAA-CREF
Core
Bond
Fund
103,387,049
6,968,683
TIAA-CREF
Core
Plus
Bond
Fund
65,017,814
1,374,254
TIAA-CREF
Emerging
Markets
Debt
Fund
10,939,062
1,487,244
TIAA-CREF
High-Yield
Fund
12,358,997
1,220,411
TIAA-CREF
International
Bond
Fund
10,422,314
TOTAL
FIXED
INCOME
202,125,236
INFLATION-PROTECTED
ASSETS—10.0%
4,428,796
TIAA-CREF
Inflation-Linked
Bond
Fund
50,001,111
TOTAL
INFLATION-PROTECTED
ASSETS
50,001,111
INTERNATIONAL
EQUITY—11.9%
299,676
Nuveen
International
Growth
Fund
12,082,927
1,024,075
TIAA-CREF
Emerging
Markets
Equity
Fund
7,772,728
1,664,444
TIAA-CREF
International
Equity
Fund
18,308,882
961,154
TIAA-CREF
International
Opportunities
Fund
12,716,066
911,447
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
8,549,373
TOTAL
INTERNATIONAL
EQUITY
59,429,976
SHORT-TERM
FIXED
INCOME—10.1%
5,083,826
TIAA-CREF
Short-Term
Bond
Fund
50,482,388
TOTAL
SHORT-TERM
FIXED
INCOME
50,482,388
U.S.
EQUITY—21.6%
291,792
Nuveen
Dividend
Growth
Fund
14,723,816
1,241,431
Nuveen
Dividend
Value
Fund
17,653,149
830,643
Nuveen
Growth
Opportunities
ETF
15,715,766
1,050,835
TIAA-CREF
Growth
&
Income
Fund
14,564,569
897,620
TIAA-CREF
Large-Cap
Growth
Fund
15,735,275
914,307
TIAA-CREF
Large-Cap
Value
Fund
17,646,116
273,346
TIAA-CREF
Quant
Small-Cap
Equity
Fund
4,474,681
592,090
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
7,655,726
TOTAL
U.S.
EQUITY
108,169,098
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
499,248,708
(Cost
$501,307,900)
TOTAL
INVESTMENTS—99.9%
499,248,708
(Cost
$501,307,900)
OTHER
ASSETS
&
LIABILITIES,
NET—0.1%
299,878
NET
ASSETS—100.0%
$
499,548,586
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$29,040,899
or
5.8%
of
net
assets.
Lifecycle
2010
Fund
August
31,
2022
Portfolio
of
Investments
(unaudited)
2
Lifecycle
2010
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.9%
a
DIRECT
REAL
ESTATE—4.6%
3,392,595
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
7/01/16-8/30/22;
cost
$35,228,745)
$
44,409,063
TOTAL
DIRECT
REAL
ESTATE
44,409,063
FIXED
INCOME—40.4%
21,447,240
TIAA-CREF
Core
Bond
Fund
199,673,803
13,466,598
TIAA-CREF
Core
Plus
Bond
Fund
125,643,356
2,656,864
TIAA-CREF
Emerging
Markets
Debt
Fund
21,148,638
2,873,329
TIAA-CREF
High-Yield
Fund
23,877,367
2,357,566
TIAA-CREF
International
Bond
Fund
20,133,616
TOTAL
FIXED
INCOME
390,476,780
INFLATION-PROTECTED
ASSETS—10.0%
8,558,663
TIAA-CREF
Inflation-Linked
Bond
Fund
96,627,309
TOTAL
INFLATION-PROTECTED
ASSETS
96,627,309
INTERNATIONAL
EQUITY—11.6%
565,723
Nuveen
International
Growth
Fund
22,809,940
1,925,416
TIAA-CREF
Emerging
Markets
Equity
Fund
14,613,905
3,131,042
TIAA-CREF
International
Equity
Fund
34,441,462
1,806,054
TIAA-CREF
International
Opportunities
Fund
23,894,090
1,709,961
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
16,039,436
TOTAL
INTERNATIONAL
EQUITY
111,798,833
SHORT-TERM
FIXED
INCOME—12.3%
11,930,129
TIAA-CREF
Short-Term
Bond
Fund
118,466,177
TOTAL
SHORT-TERM
FIXED
INCOME
118,466,177
U.S.
EQUITY—21.0%
541,962
Nuveen
Dividend
Growth
Fund
27,347,405
2,335,875
Nuveen
Dividend
Value
Fund
33,216,141
1,559,217
Nuveen
Growth
Opportunities
ETF
29,500,386
1,970,458
TIAA-CREF
Growth
&
Income
Fund
27,310,544
1,680,070
TIAA-CREF
Large-Cap
Growth
Fund
29,451,628
1,720,120
TIAA-CREF
Large-Cap
Value
Fund
33,198,313
513,910
TIAA-CREF
Quant
Small-Cap
Equity
Fund
8,412,709
1,123,045
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
14,520,974
TOTAL
U.S.
EQUITY
202,958,100
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
964,736,262
(Cost
$943,802,824)
TOTAL
INVESTMENTS—99.9%
964,736,262
(Cost
$943,802,824)
OTHER
ASSETS
&
LIABILITIES,
NET—0.1%
749,101
NET
ASSETS—100.0%
$
965,485,363
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$44,409,063
or
4.6%
of
net
assets.
Portfolio
of
Investments
(unaudited)
Lifecycle
2015
Fund
August
31,
2022
3
Lifecycle
2015
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.9%
a
DIRECT
REAL
ESTATE—5.8%
6,038,903
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
11/28/16-8/30/22;
cost
$63,666,570)
$
79,049,243
TOTAL
DIRECT
REAL
ESTATE
79,049,243
FIXED
INCOME—39.9%
29,777,465
TIAA-CREF
Core
Bond
Fund
277,228,203
18,711,833
TIAA-CREF
Core
Plus
Bond
Fund
174,581,404
3,691,835
TIAA-CREF
Emerging
Markets
Debt
Fund
29,387,005
4,005,606
TIAA-CREF
High-Yield
Fund
33,286,582
3,274,852
TIAA-CREF
International
Bond
Fund
27,967,239
TOTAL
FIXED
INCOME
542,450,433
INFLATION-PROTECTED
ASSETS—8.9%
10,673,637
TIAA-CREF
Inflation-Linked
Bond
Fund
120,505,361
TOTAL
INFLATION-PROTECTED
ASSETS
120,505,361
INTERNATIONAL
EQUITY—12.9%
887,887
Nuveen
International
Growth
Fund
35,799,619
3,015,905
TIAA-CREF
Emerging
Markets
Equity
Fund
22,890,715
4,909,044
TIAA-CREF
International
Equity
Fund
53,999,481
2,836,915
TIAA-CREF
International
Opportunities
Fund
37,532,387
2,682,496
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
25,161,816
TOTAL
INTERNATIONAL
EQUITY
175,384,018
SHORT-TERM
FIXED
INCOME—8.9%
12,261,225
TIAA-CREF
Short-Term
Bond
Fund
121,753,968
TOTAL
SHORT-TERM
FIXED
INCOME
121,753,968
U.S.
EQUITY—23.5%
858,591
Nuveen
Dividend
Growth
Fund
43,324,526
3,651,887
Nuveen
Dividend
Value
Fund
51,929,834
2,467,860
Nuveen
Growth
Opportunities
ETF
46,691,911
3,125,497
TIAA-CREF
Growth
&
Income
Fund
43,319,385
2,672,419
TIAA-CREF
Large-Cap
Growth
Fund
46,847,510
2,689,590
TIAA-CREF
Large-Cap
Value
Fund
51,909,091
806,298
TIAA-CREF
Quant
Small-Cap
Equity
Fund
13,199,092
1,703,124
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
22,021,389
TOTAL
U.S.
EQUITY
319,242,738
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
1,358,385,761
(Cost
$1,394,961,327)
TOTAL
INVESTMENTS—99.9%
1,358,385,761
(Cost
$1,394,961,327)
OTHER
ASSETS
&
LIABILITIES,
NET—0.1%
686,293
NET
ASSETS—100.0%
$
1,359,072,054
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$79,049,243
or
5.8%
of
net
assets.
Lifecycle
2020
Fund
August
31,
2022
Portfolio
of
Investments
(unaudited)
4
Lifecycle
2020
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.9%
a
DIRECT
REAL
ESTATE—5.8%
13,375,161
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
11/28/16-8/30/22;
cost
$141,574,475)
$
175,080,852
TOTAL
DIRECT
REAL
ESTATE
175,080,852
FIXED
INCOME—38.9%
64,230,297
TIAA-CREF
Core
Bond
Fund
597,984,066
40,379,396
TIAA-CREF
Core
Plus
Bond
Fund
376,739,761
7,989,310
TIAA-CREF
Emerging
Markets
Debt
Fund
63,594,911
8,695,476
TIAA-CREF
High-Yield
Fund
72,259,409
7,066,398
TIAA-CREF
International
Bond
Fund
60,347,039
TOTAL
FIXED
INCOME
1,170,925,186
INFLATION-PROTECTED
ASSETS—6.9%
18,292,477
TIAA-CREF
Inflation-Linked
Bond
Fund
206,522,065
TOTAL
INFLATION-PROTECTED
ASSETS
206,522,065
INTERNATIONAL
EQUITY—14.6%
2,228,493
Nuveen
International
Growth
Fund
89,852,831
7,544,810
TIAA-CREF
Emerging
Markets
Equity
Fund
57,265,108
12,304,117
TIAA-CREF
International
Equity
Fund
135,345,286
7,118,788
TIAA-CREF
International
Opportunities
Fund
94,181,572
6,739,326
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
63,214,877
TOTAL
INTERNATIONAL
EQUITY
439,859,674
SHORT-TERM
FIXED
INCOME—6.9%
21,008,155
TIAA-CREF
Short-Term
Bond
Fund
208,610,982
TOTAL
SHORT-TERM
FIXED
INCOME
208,610,982
U.S.
EQUITY—26.8%
2,176,115
Nuveen
Dividend
Growth
Fund
109,806,747
9,140,792
Nuveen
Dividend
Value
Fund
129,982,065
6,300,240
Nuveen
Growth
Opportunities
ETF
119,200,541
7,910,316
TIAA-CREF
Growth
&
Income
Fund
109,636,973
6,793,681
TIAA-CREF
Large-Cap
Growth
Fund
119,093,229
6,730,761
TIAA-CREF
Large-Cap
Value
Fund
129,903,685
2,025,232
TIAA-CREF
Quant
Small-Cap
Equity
Fund
33,153,055
4,120,779
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
53,281,671
TOTAL
U.S.
EQUITY
804,057,966
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
3,005,056,725
(Cost
$3,072,964,232)
TOTAL
INVESTMENTS—99.9%
3,005,056,725
(Cost
$3,072,964,232)
OTHER
ASSETS
&
LIABILITIES,
NET—0.1%
3,182,621
NET
ASSETS—100.0%
$
3,008,239,346
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$175,080,852
or
5.8%
of
net
assets.
Portfolio
of
Investments
(unaudited)
Lifecycle
2025
Fund
August
31,
2022
5
Lifecycle
2025
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.9%
a
DIRECT
REAL
ESTATE—5.8%
19,551,801
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/30/22;
cost
$208,871,668)
$
255,933,076
TOTAL
DIRECT
REAL
ESTATE
255,933,076
FIXED
INCOME—35.5%
85,523,419
TIAA-CREF
Core
Bond
Fund
796,223,033
53,847,631
TIAA-CREF
Core
Plus
Bond
Fund
502,398,394
10,822,907
TIAA-CREF
Emerging
Markets
Debt
Fund
86,150,343
11,761,904
TIAA-CREF
High-Yield
Fund
97,741,420
9,423,040
TIAA-CREF
International
Bond
Fund
80,472,763
TOTAL
FIXED
INCOME
1,562,985,953
INFLATION-PROTECTED
ASSETS—4.9%
18,928,298
TIAA-CREF
Inflation-Linked
Bond
Fund
213,700,483
TOTAL
INFLATION-PROTECTED
ASSETS
213,700,483
INTERNATIONAL
EQUITY—17.2%
3,831,047
Nuveen
International
Growth
Fund
154,467,824
13,024,497
TIAA-CREF
Emerging
Markets
Equity
Fund
98,855,934
21,215,636
TIAA-CREF
International
Equity
Fund
233,371,996
12,251,291
TIAA-CREF
International
Opportunities
Fund
162,084,581
11,609,514
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
108,897,246
TOTAL
INTERNATIONAL
EQUITY
757,677,581
SHORT-TERM
FIXED
INCOME—4.9%
21,755,485
TIAA-CREF
Short-Term
Bond
Fund
216,031,969
TOTAL
SHORT-TERM
FIXED
INCOME
216,031,969
U.S.
EQUITY—31.6%
3,785,968
Nuveen
Dividend
Growth
Fund
191,039,955
15,653,946
Nuveen
Dividend
Value
Fund
222,599,113
10,961,192
Nuveen
Growth
Opportunities
ETF
207,385,753
13,750,454
TIAA-CREF
Growth
&
Income
Fund
190,581,288
11,859,055
TIAA-CREF
Large-Cap
Growth
Fund
207,889,227
11,521,717
TIAA-CREF
Large-Cap
Value
Fund
222,369,141
3,482,095
TIAA-CREF
Quant
Small-Cap
Equity
Fund
57,001,887
6,789,272
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
87,785,286
TOTAL
U.S.
EQUITY
1,386,651,650
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
4,392,980,712
(Cost
$4,488,309,961)
TOTAL
INVESTMENTS—99.9%
4,392,980,712
(Cost
$4,488,309,961)
OTHER
ASSETS
&
LIABILITIES,
NET—0.1%
4,713,784
NET
ASSETS—100.0%
$
4,397,694,496
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$255,933,076
or
5.8%
of
net
assets.
Lifecycle
2030
Fund
August
31,
2022
Portfolio
of
Investments
(unaudited)
6
Lifecycle
2030
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.9%
a
DIRECT
REAL
ESTATE—5.8%
21,628,543
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/30/22;
cost
$232,929,676)
$
283,117,627
TOTAL
DIRECT
REAL
ESTATE
283,117,627
FIXED
INCOME—30.4%
80,425,206
TIAA-CREF
Core
Bond
Fund
748,758,664
50,718,176
TIAA-CREF
Core
Plus
Bond
Fund
473,200,583
10,456,503
TIAA-CREF
Emerging
Markets
Debt
Fund
83,233,767
11,612,914
TIAA-CREF
High-Yield
Fund
96,503,313
8,885,246
TIAA-CREF
International
Bond
Fund
75,880,000
TOTAL
FIXED
INCOME
1,477,576,327
INFLATION-PROTECTED
ASSETS—2.9%
12,299,502
TIAA-CREF
Inflation-Linked
Bond
Fund
138,861,380
TOTAL
INFLATION-PROTECTED
ASSETS
138,861,380
INTERNATIONAL
EQUITY—20.4%
5,005,926
Nuveen
International
Growth
Fund
201,838,921
17,061,318
TIAA-CREF
Emerging
Markets
Equity
Fund
129,495,400
27,808,348
TIAA-CREF
International
Equity
Fund
305,891,833
16,008,910
TIAA-CREF
International
Opportunities
Fund
211,797,881
15,197,346
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
142,551,101
TOTAL
INTERNATIONAL
EQUITY
991,575,136
SHORT-TERM
FIXED
INCOME—2.9%
14,134,821
TIAA-CREF
Short-Term
Bond
Fund
140,358,768
TOTAL
SHORT-TERM
FIXED
INCOME
140,358,768
U.S.
EQUITY—37.5%
4,998,151
Nuveen
Dividend
Growth
Fund
252,206,694
20,422,289
Nuveen
Dividend
Value
Fund
290,404,953
14,533,924
Nuveen
Growth
Opportunities
ETF
274,981,842
18,180,688
TIAA-CREF
Growth
&
Income
Fund
251,984,333
15,764,105
TIAA-CREF
Large-Cap
Growth
Fund
276,344,765
15,040,884
TIAA-CREF
Large-Cap
Value
Fund
290,289,054
4,562,618
TIAA-CREF
Quant
Small-Cap
Equity
Fund
74,690,050
8,549,839
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
110,549,416
TOTAL
U.S.
EQUITY
1,821,451,107
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
4,852,940,345
(Cost
$4,955,222,221)
TOTAL
INVESTMENTS—99.9%
4,852,940,345
(Cost
$4,955,222,221)
OTHER
ASSETS
&
LIABILITIES,
NET—0.1%
6,106,414
NET
ASSETS—100.0%
$
4,859,046,759
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$283,117,627
or
5.8%
of
net
assets.
Portfolio
of
Investments
(unaudited)
Lifecycle
2035
Fund
August
31,
2022
7
Lifecycle
2035
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.8%
a
DIRECT
REAL
ESTATE—5.8%
22,192,262
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/30/22;
cost
$238,740,120)
$
290,496,708
TOTAL
DIRECT
REAL
ESTATE
290,496,708
FIXED
INCOME—25.3%
68,004,037
TIAA-CREF
Core
Bond
Fund
633,117,584
43,059,741
TIAA-CREF
Core
Plus
Bond
Fund
401,747,381
9,240,888
TIAA-CREF
Emerging
Markets
Debt
Fund
73,557,470
10,288,211
TIAA-CREF
High-Yield
Fund
85,495,029
7,548,085
TIAA-CREF
International
Bond
Fund
64,460,645
TOTAL
FIXED
INCOME
1,258,378,109
INFLATION-PROTECTED
ASSETS—0.8%
3,771,465
TIAA-CREF
Inflation-Linked
Bond
Fund
42,579,836
TOTAL
INFLATION-PROTECTED
ASSETS
42,579,836
INTERNATIONAL
EQUITY—23.6%
5,937,851
Nuveen
International
Growth
Fund
239,414,160
20,228,868
TIAA-CREF
Emerging
Markets
Equity
Fund
153,537,106
32,982,304
TIAA-CREF
International
Equity
Fund
362,805,341
19,003,304
TIAA-CREF
International
Opportunities
Fund
251,413,708
17,992,638
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
168,770,941
TOTAL
INTERNATIONAL
EQUITY
1,175,941,256
SHORT-TERM
FIXED
INCOME—0.9%
4,331,008
TIAA-CREF
Short-Term
Bond
Fund
43,006,910
TOTAL
SHORT-TERM
FIXED
INCOME
43,006,910
U.S.
EQUITY—43.4%
5,973,290
Nuveen
Dividend
Growth
Fund
301,412,227
24,156,501
Nuveen
Dividend
Value
Fund
343,505,446
17,369,637
Nuveen
Growth
Opportunities
ETF
328,633,532
21,748,010
TIAA-CREF
Growth
&
Income
Fund
301,427,425
18,839,901
TIAA-CREF
Large-Cap
Growth
Fund
330,263,463
17,791,104
TIAA-CREF
Large-Cap
Value
Fund
343,368,316
5,416,572
TIAA-CREF
Quant
Small-Cap
Equity
Fund
88,669,287
9,843,160
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
127,272,053
TOTAL
U.S.
EQUITY
2,164,551,749
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
4,974,954,568
(Cost
$5,045,606,854)
TOTAL
INVESTMENTS—99.8%
4,974,954,568
(Cost
$5,045,606,854)
OTHER
ASSETS
&
LIABILITIES,
NET—0.2%
7,684,521
NET
ASSETS—100.0%
$
4,982,639,089
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$290,496,708
or
5.8%
of
net
assets.
Lifecycle
2040
Fund
August
31,
2022
Portfolio
of
Investments
(unaudited)
8
Lifecycle
2040
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.9%
a
DIRECT
REAL
ESTATE—5.9%
26,244,102
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/18/22;
cost
$281,876,356)
$
343,535,300
TOTAL
DIRECT
REAL
ESTATE
343,535,300
FIXED
INCOME—17.8%
55,527,768
TIAA-CREF
Core
Bond
Fund
516,963,517
35,539,298
TIAA-CREF
Core
Plus
Bond
Fund
331,581,650
8,280,385
TIAA-CREF
Emerging
Markets
Debt
Fund
65,911,865
9,627,406
TIAA-CREF
High-Yield
Fund
80,003,746
6,218,893
TIAA-CREF
International
Bond
Fund
53,109,345
TOTAL
FIXED
INCOME
1,047,570,123
INTERNATIONAL
EQUITY—26.8%
7,968,588
Nuveen
International
Growth
Fund
321,293,471
27,075,076
TIAA-CREF
Emerging
Markets
Equity
Fund
205,499,827
44,145,801
TIAA-CREF
International
Equity
Fund
485,603,815
25,518,609
TIAA-CREF
International
Opportunities
Fund
337,611,197
24,123,755
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
226,280,822
TOTAL
INTERNATIONAL
EQUITY
1,576,289,132
U.S.
EQUITY—49.4%
8,069,685
Nuveen
Dividend
Growth
Fund
407,196,283
32,344,896
Nuveen
Dividend
Value
Fund
459,944,418
23,398,641
Nuveen
Growth
Opportunities
ETF
442,702,288
29,316,617
TIAA-CREF
Growth
&
Income
Fund
406,328,305
25,440,921
TIAA-CREF
Large-Cap
Growth
Fund
445,979,340
23,814,609
TIAA-CREF
Large-Cap
Value
Fund
459,621,962
7,268,300
TIAA-CREF
Quant
Small-Cap
Equity
Fund
118,982,071
12,897,206
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
166,760,872
TOTAL
U.S.
EQUITY
2,907,515,539
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
5,874,910,094
(Cost
$5,904,685,793)
TOTAL
INVESTMENTS—99.9%
5,874,910,094
(Cost
$5,904,685,793)
OTHER
ASSETS
&
LIABILITIES,
NET—0.1%
8,805,496
NET
ASSETS—100.0%
$
5,883,715,590
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$343,535,300
or
5.9%
of
net
assets.
Portfolio
of
Investments
(unaudited)
Lifecycle
2045
Fund
August
31,
2022
9
Lifecycle
2045
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.8%
a
DIRECT
REAL
ESTATE—5.8%
17,782,918
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/15/22;
cost
$193,328,005)
$
232,778,400
TOTAL
DIRECT
REAL
ESTATE
232,778,400
FIXED
INCOME—8.6%
16,967,963
TIAA-CREF
Core
Bond
Fund
157,971,736
11,306,442
TIAA-CREF
Core
Plus
Bond
Fund
105,489,100
3,423,101
TIAA-CREF
Emerging
Markets
Debt
Fund
27,247,885
4,335,472
TIAA-CREF
High-Yield
Fund
36,027,776
1,979,129
TIAA-CREF
International
Bond
Fund
16,901,763
TOTAL
FIXED
INCOME
343,638,260
INTERNATIONAL
EQUITY—30.0%
6,040,459
Nuveen
International
Growth
Fund
243,551,296
20,513,875
TIAA-CREF
Emerging
Markets
Equity
Fund
155,700,310
33,443,213
TIAA-CREF
International
Equity
Fund
367,875,341
19,327,825
TIAA-CREF
International
Opportunities
Fund
255,707,123
18,309,765
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
171,745,600
TOTAL
INTERNATIONAL
EQUITY
1,194,579,670
U.S.
EQUITY—55.4%
6,138,206
Nuveen
Dividend
Growth
Fund
309,733,885
24,470,000
Nuveen
Dividend
Value
Fund
347,963,399
17,807,035
Nuveen
Growth
Opportunities
ETF
336,909,102
22,299,932
TIAA-CREF
Growth
&
Income
Fund
309,077,057
19,391,769
TIAA-CREF
Large-Cap
Growth
Fund
339,937,709
18,021,611
TIAA-CREF
Large-Cap
Value
Fund
347,817,094
5,504,690
TIAA-CREF
Quant
Small-Cap
Equity
Fund
90,111,779
9,604,030
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
124,180,103
TOTAL
U.S.
EQUITY
2,205,730,128
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
3,976,726,458
(Cost
$3,930,970,886)
TOTAL
INVESTMENTS—99.8%
3,976,726,458
(Cost
$3,930,970,886)
OTHER
ASSETS
&
LIABILITIES,
NET—0.2%
6,733,407
NET
ASSETS—100.0%
$
3,983,459,865
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$232,778,400
or
5.8%
of
net
assets.
Lifecycle
2050
Fund
August
31,
2022
Portfolio
of
Investments
(unaudited)
10
Lifecycle
2050
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.8%
a
DIRECT
REAL
ESTATE—5.9%
13,421,732
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/15/22;
cost
$147,136,741)
$
175,690,471
TOTAL
DIRECT
REAL
ESTATE
175,690,471
FIXED
INCOME—4.0%
5,001,628
TIAA-CREF
Core
Bond
Fund
46,565,153
3,677,058
TIAA-CREF
Core
Plus
Bond
Fund
34,306,952
1,763,550
TIAA-CREF
Emerging
Markets
Debt
Fund
14,037,857
2,442,160
TIAA-CREF
High-Yield
Fund
20,294,351
640,595
TIAA-CREF
International
Bond
Fund
5,470,679
TOTAL
FIXED
INCOME
120,674,992
INTERNATIONAL
EQUITY—31.6%
4,797,333
Nuveen
International
Growth
Fund
193,428,482
16,295,730
TIAA-CREF
Emerging
Markets
Equity
Fund
123,684,593
26,556,149
TIAA-CREF
International
Equity
Fund
292,117,640
15,364,584
TIAA-CREF
International
Opportunities
Fund
203,273,448
14,547,359
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
136,454,230
TOTAL
INTERNATIONAL
EQUITY
948,958,393
U.S.
EQUITY—58.3%
4,886,475
Nuveen
Dividend
Growth
Fund
246,571,539
19,436,065
Nuveen
Dividend
Value
Fund
276,380,844
14,187,936
Nuveen
Growth
Opportunities
ETF
268,435,749
17,732,505
TIAA-CREF
Growth
&
Income
Fund
245,772,522
15,439,256
TIAA-CREF
Large-Cap
Growth
Fund
270,650,151
14,317,861
TIAA-CREF
Large-Cap
Value
Fund
276,334,718
4,380,180
TIAA-CREF
Quant
Small-Cap
Equity
Fund
71,703,554
7,574,391
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
97,936,880
TOTAL
U.S.
EQUITY
1,753,785,957
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
2,999,109,813
(Cost
$3,004,514,201)
TOTAL
INVESTMENTS—99.8%
2,999,109,813
(Cost
$3,004,514,201)
OTHER
ASSETS
&
LIABILITIES,
NET—0.2%
5,789,794
NET
ASSETS—100.0%
$
3,004,899,607
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$175,690,471
or
5.9%
of
net
assets.
Portfolio
of
Investments
(unaudited)
Lifecycle
2055
Fund
August
31,
2022
11
Lifecycle
2055
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.8%
a
DIRECT
REAL
ESTATE—5.8%
6,104,520
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/15/22;
cost
$68,064,674)
$
79,908,166
TOTAL
DIRECT
REAL
ESTATE
79,908,166
FIXED
INCOME—2.8%
1,306,409
TIAA-CREF
Core
Bond
Fund
12,162,671
1,067,479
TIAA-CREF
Core
Plus
Bond
Fund
9,959,582
701,060
TIAA-CREF
Emerging
Markets
Debt
Fund
5,580,440
1,006,624
TIAA-CREF
High-Yield
Fund
8,365,045
187,170
TIAA-CREF
International
Bond
Fund
1,598,431
TOTAL
FIXED
INCOME
37,666,169
INTERNATIONAL
EQUITY—32.0%
2,208,144
Nuveen
International
Growth
Fund
89,032,374
7,527,423
TIAA-CREF
Emerging
Markets
Equity
Fund
57,133,138
12,231,948
TIAA-CREF
International
Equity
Fund
134,551,433
7,104,738
TIAA-CREF
International
Opportunities
Fund
93,995,681
6,696,803
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
62,816,013
TOTAL
INTERNATIONAL
EQUITY
437,528,639
U.S.
EQUITY—59.2%
2,254,814
Nuveen
Dividend
Growth
Fund
113,777,928
8,961,015
Nuveen
Dividend
Value
Fund
127,425,629
6,545,824
Nuveen
Growth
Opportunities
ETF
123,846,990
8,171,954
TIAA-CREF
Growth
&
Income
Fund
113,263,286
7,117,073
TIAA-CREF
Large-Cap
Growth
Fund
124,762,286
6,598,771
TIAA-CREF
Large-Cap
Value
Fund
127,356,282
2,019,444
TIAA-CREF
Quant
Small-Cap
Equity
Fund
33,058,293
3,490,298
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
45,129,551
TOTAL
U.S.
EQUITY
808,620,245
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
1,363,723,219
(Cost
$1,407,293,293)
TOTAL
INVESTMENTS—99.8%
1,363,723,219
(Cost
$1,407,293,293)
OTHER
ASSETS
&
LIABILITIES,
NET—0.2%
3,389,692
NET
ASSETS—100.0%
$
1,367,112,911
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$79,908,166
or
5.8%
of
net
assets.
Lifecycle
2060
Fund
August
31,
2022
Portfolio
of
Investments
(unaudited)
12
Lifecycle
2060
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.7%
a
DIRECT
REAL
ESTATE—5.9%
2,019,911
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
8/01/16-8/30/22;
cost
$23,031,354)
$
26,440,640
TOTAL
DIRECT
REAL
ESTATE
26,440,640
FIXED
INCOME—1.5%
107,439
TIAA-CREF
Core
Bond
Fund
1,000,262
158,162
TIAA-CREF
Core
Plus
Bond
Fund
1,475,654
200,049
TIAA-CREF
Emerging
Markets
Debt
Fund
1,592,391
303,174
TIAA-CREF
High-Yield
Fund
2,519,376
27,718
TIAA-CREF
International
Bond
Fund
236,715
TOTAL
FIXED
INCOME
6,824,398
INTERNATIONAL
EQUITY—32.4%
735,792
Nuveen
International
Growth
Fund
29,667,152
2,542,404
TIAA-CREF
Emerging
Markets
Equity
Fund
19,296,850
4,102,409
TIAA-CREF
International
Equity
Fund
45,126,497
2,390,009
TIAA-CREF
International
Opportunities
Fund
31,619,817
2,248,148
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
21,087,627
TOTAL
INTERNATIONAL
EQUITY
146,797,943
U.S.
EQUITY—59.9%
757,223
Nuveen
Dividend
Growth
Fund
38,209,465
3,008,686
Nuveen
Dividend
Value
Fund
42,783,512
2,191,534
Nuveen
Growth
Opportunities
ETF
41,463,823
2,741,190
TIAA-CREF
Growth
&
Income
Fund
37,992,898
2,388,098
TIAA-CREF
Large-Cap
Growth
Fund
41,863,356
2,213,689
TIAA-CREF
Large-Cap
Value
Fund
42,724,197
676,930
TIAA-CREF
Quant
Small-Cap
Equity
Fund
11,081,346
1,164,654
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
15,058,977
TOTAL
U.S.
EQUITY
271,177,574
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
451,240,555
(Cost
$482,986,002)
TOTAL
INVESTMENTS—99.7%
451,240,555
(Cost
$482,986,002)
OTHER
ASSETS
&
LIABILITIES,
NET—0.3%
1,434,147
NET
ASSETS—100.0%
$
452,674,702
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$26,440,640
or
5.9%
of
net
assets.
Portfolio
of
Investments
(unaudited)
Lifecycle
2065
Fund
August
31,
2022
13
Lifecycle
2065
Fund
SHARES
SECURITY
VALUE
AFFILIATED
INVESTMENT
COMPANIES—99.5%
a
DIRECT
REAL
ESTATE—5.8%
123,108
b
TIAA-CREF
Real
Property
Fund
LP
(purchased
9/30/20-8/30/22;
cost
$1,533,181)
$
1,611,485
TOTAL
DIRECT
REAL
ESTATE
1,611,485
FIXED
INCOME—0.6%
17
TIAA-CREF
Core
Bond
Fund
157
204
TIAA-CREF
Core
Plus
Bond
Fund
1,902
385
TIAA-CREF
Emerging
Markets
Debt
Fund
3,062
18,074
TIAA-CREF
High-Yield
Fund
150,197
38
TIAA-CREF
International
Bond
Fund
328
TOTAL
FIXED
INCOME
155,646
INTERNATIONAL
EQUITY—32.7%
44,426
Nuveen
International
Growth
Fund
1,791,237
156,524
TIAA-CREF
Emerging
Markets
Equity
Fund
1,188,018
253,146
TIAA-CREF
International
Equity
Fund
2,784,611
148,276
TIAA-CREF
International
Opportunities
Fund
1,961,687
139,032
TIAA-CREF
Quant
International
Small-Cap
Equity
Fund
1,304,121
TOTAL
INTERNATIONAL
EQUITY
9,029,674
U.S.
EQUITY—60.4%
46,743
Nuveen
Dividend
Growth
Fund
2,358,676
185,148
Nuveen
Dividend
Value
Fund
2,632,811
133,991
Nuveen
Growth
Opportunities
ETF
2,535,110
168,969
TIAA-CREF
Growth
&
Income
Fund
2,341,915
147,251
TIAA-CREF
Large-Cap
Growth
Fund
2,581,303
137,335
TIAA-CREF
Large-Cap
Value
Fund
2,650,557
41,751
TIAA-CREF
Quant
Small-Cap
Equity
Fund
683,460
72,109
TIAA-CREF
Quant
Small/Mid-Cap
Equity
Fund
932,372
TOTAL
U.S.
EQUITY
16,716,204
TOTAL
AFFILIATED
INVESTMENT
COMPANIES
27,513,009
(Cost
$30,257,150)
TOTAL
INVESTMENTS—99.5%
27,513,009
(Cost
$30,257,150)
OTHER
ASSETS
&
LIABILITIES,
NET—0.5%
145,585
NET
ASSETS—100.0%
$
27,658,594
ETF
Exchange
Traded
Fund
a
The
Fund
invests
its
assets
in
the
affiliated
TIAA-CREF
Real
Property
Fund
LP,
the
affiliated
Nuveen
Growth
Opportunities
ETF,
Class
W
shares
of
the
affiliated
TIAA-CREF
Funds
and
Class
R6
shares
of
the
affiliated
Nuveen
Funds.
b
Restricted
security.
At
8/31/22,
the
total
value
of
this
security
amounted
to
$1,611,485
or
5.8%
of
net
assets.
TIAA-CREF
Lifecycle
Funds
August
31,
2022
Notes
to
portfolios
of
investments
(unaudited)
14
Notes
to
portfolios
of
investments
(unaudited)
Organization
and
significant
accounting
policies
Part
F
of
Form
N-PORT
was
prepared in
accordance
with
accounting
principles
generally
accepted
in
the
United
States
of
America
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission related
to
interim
filings. Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report.
For
a
full
set
of
financial
statement
notes,
please
refer
to
the
most
recently
filed
annual
or
semiannual
report.
Valuation
of
investments
The
Funds’
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels:
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
In
accordance
with
ASC
820,
certain
portfolio
investments
that
are
measured
at
fair
value
using
the
net
asset
value
("NAV")
per
share
practical
expedient
are
not
categorized
within
the
fair
value
hierarchy.
These
investments
will
be
disclosed
at
their
fair
value
to
allow
reconciliation
back
to
the
schedules
of
investments.
A
description
of
the
valuation
techniques
applied
to
the
Funds’
major
classifications
of
assets
and
liabilities
measured
at
fair
value
follows:
Investments
in
registered
investment
companies:
Investments
in
investment
companies
are
valued
at
their
respective
NAVs
on
the
valuation
date
and
are
generally
classified
as
Level
1.
Investments
in
unregistered
limited
partnerships:
Investments
in
unregistered
limited
partnerships
are
measured
at
fair
value
as
of
the
valuation
date
using
the
NAV
per
share
practical
expedient
and
are
not
classified
within
the
fair
value
hierarchy.
The
following
table
summarizes
the
market
value
of
the
Funds’
investments
as
of
August
31,
2022
,
based
on
the
inputs
used
to
value
them:
Fund
Level
1
Level
2
Level
3
Fair
value
using
practical
expedient
a
Total
Lifecycle
Retirement
Income
Registered
investment
companies
$
470,207,809
$
—
$
—
$
—
$
470,207,809
TIAA-CREF
Real
Property
Fund
LP
—
—
—
29,040,899
29,040,899
Total
$
470,207,809
$
—
$
—
$
29,040,899
$
499,248,708
Lifecycle
2010
Registered
investment
companies
$
920,327,199
$
—
$
—
$
—
$
920,327,199
TIAA-CREF
Real
Property
Fund
LP
—
—
—
44,409,063
44,409,063
Total
$
920,327,199
$
—
$
—
$
44,409,063
$
964,736,262
Lifecycle
2015
Registered
investment
companies
$
1,279,336,518
$
—
$
—
$
—
$
1,279,336,518
TIAA-CREF
Real
Property
Fund
LP
—
—
—
79,049,243
79,049,243
Total
$
1,279,336,518
$
—
$
—
$
79,049,243
$
1,358,385,761
Lifecycle
2020
Registered
investment
companies
$
2,829,975,873
$
—
$
—
$
—
$
2,829,975,873
TIAA-CREF
Real
Property
Fund
LP
—
—
—
175,080,852
175,080,852
Total
$
2,829,975,873
$
—
$
—
$
175,080,852
$
3,005,056,725
Lifecycle
2025
Registered
investment
companies
$
4,137,047,636
$
—
$
—
$
—
$
4,137,047,636
TIAA-CREF
Real
Property
Fund
LP
—
—
—
255,933,076
255,933,076
Total
$
4,137,047,636
$
—
$
—
$
255,933,076
$
4,392,980,712
Notes
to
portfolios
of
investments
(unaudited)
TIAA-CREF
Lifecycle
Funds
August
31,
2022
15
Notes
to
portfolios
of
investments
(unaudited)
concluded
Fund
Level
1
Level
2
Level
3
Fair
value
using
practical
expedient
a
Total
Lifecycle
2030
Registered
investment
companies
$
4,569,822,718
$
—
$
—
$
—
$
4,569,822,718
TIAA-CREF
Real
Property
Fund
LP
—
—
—
283,117,627
283,117,627
Total
$
4,569,822,718
$
—
$
—
$
283,117,627
$
4,852,940,345
Lifecycle
2035
Registered
investment
companies
$
4,684,457,860
$
—
$
—
$
—
$
4,684,457,860
TIAA-CREF
Real
Property
Fund
LP
—
—
—
290,496,708
290,496,708
Total
$
4,684,457,860
$
—
$
—
$
290,496,708
$
4,974,954,568
Lifecycle
2040
Registered
investment
companies
$
5,531,374,794
$
—
$
—
$
—
$
5,531,374,794
TIAA-CREF
Real
Property
Fund
LP
—
—
—
343,535,300
343,535,300
Total
$
5,531,374,794
$
—
$
—
$
343,535,300
$
5,874,910,094
Lifecycle
2045
Registered
investment
companies
$
3,743,948,058
$
—
$
—
$
—
$
3,743,948,058
TIAA-CREF
Real
Property
Fund
LP
—
—
—
232,778,400
232,778,400
Total
$
3,743,948,058
$
—
$
—
$
232,778,400
$
3,976,726,458
Lifecycle
2050
Registered
investment
companies
$
2,823,419,342
$
—
$
—
$
—
$
2,823,419,342
TIAA-CREF
Real
Property
Fund
LP
—
—
—
175,690,471
175,690,471
Total
$
2,823,419,342
$
—
$
—
$
175,690,471
$
2,999,109,813
Lifecycle
2055
Registered
investment
companies
$
1,283,815,053
$
—
$
—
$
—
$
1,283,815,053
TIAA-CREF
Real
Property
Fund
LP
—
—
—
79,908,166
79,908,166
Total
$
1,283,815,053
$
—
$
—
$
79,908,166
$
1,363,723,219
Lifecycle
2060
Registered
investment
companies
$
424,799,915
$
—
$
—
$
—
$
424,799,915
TIAA-CREF
Real
Property
Fund
LP
—
—
—
26,440,640
26,440,640
Total
$
424,799,915
$
—
$
—
$
26,440,640
$
451,240,555
Lifecycle
2065
Registered
investment
companies
$
25,901,524
$
—
$
—
$
—
$
25,901,524
TIAA-CREF
Real
Property
Fund
LP
—
—
—
1,611,485
1,611,485
Total
$
25,901,524
$
—
$
—
$
1,611,485
$
27,513,009
a
In
accordance
with
ASC
820,
certain
investments
that
are
measured
at
fair
value
using
the
net
asset
value
per
share
practical
expedient
have
not
been
classified
in
the
fair
value
hierarchy.
The
fair
value
amounts
presented
in
this
table
are
intended
to
permit
reconciliation
of
the
fair
value
hierarchy
to
the
amounts
presented
in
the
Statements
of
assets
and
liabilities.
A10998-D
(10/22)