Schedule of investments
Delaware Value®Fund February 29, 2020 (Unaudited)
| | | |
| Number of shares | | Value (US $) |
Common Stock – 99.07% | | | |
Communication Services - 6.67% | | | |
AT&T | 11,938,608 | $ | 420,477,774 |
Comcast Class A | 541,494 | | 21,892,603 |
Verizon Communications | 7,330,033 | | 396,994,587 |
| | | 839,364,964 |
Consumer Discretionary - 6.01% | | | |
Dollar Tree † | 4,342,158 | | 360,529,379 |
Lowe’s | 3,712,966 | | 395,690,787 |
| | | 756,220,166 |
Consumer Staples - 9.27% | | | |
Archer-Daniels-Midland | 10,161,237 | | 382,570,573 |
Conagra Brands | 13,750,024 | | 366,988,141 |
Mondelez International Class A | 7,882,760 | | 416,209,728 |
| | | 1,165,768,442 |
Energy - 9.86% | | | |
ConocoPhillips | 6,893,784 | | 333,797,021 |
Halliburton | 18,220,196 | | 309,014,524 |
Marathon Oil | 32,657,900 | | 270,407,412 |
Occidental Petroleum | 9,974,022 | | 326,549,480 |
| | | 1,239,768,437 |
Financials - 15.31% | | | |
Allstate | 3,813,382 | | 401,358,455 |
American International Group | 8,284,800 | | 349,287,168 |
Bank of New York Mellon | 9,383,474 | | 374,400,613 |
Marsh & McLennan | 3,958,887 | | 413,941,225 |
Truist Financial | 8,367,623 | | 386,082,125 |
| | | 1,925,069,586 |
Healthcare - 21.71% | | | |
Abbott Laboratories | 5,162,400 | | 397,659,672 |
Cardinal Health | 7,554,244 | | 393,727,197 |
Cigna | 2,073,464 | | 379,319,504 |
CVS Health | 6,424,702 | | 380,213,864 |
Johnson & Johnson | 3,102,912 | | 417,279,606 |
Merck & Co. | 5,136,642 | | 393,261,312 |
Pfizer | 11,050,258 | | 369,299,622 |
| | | 2,730,760,777 |
Industrials - 9.37% | | | |
Northrop Grumman | 1,201,062 | | 394,957,228 |
Raytheon | 1,973,534 | | 372,129,571 |
Waste Management | 3,715,399 | | 411,703,363 |
| | | 1,178,790,162 |
NQ-456 [2/20] 4/20 (1139769) 1
Schedule of investments
Delaware Value®Fund (Unaudited)
| | | |
| Number of shares | | Value (US $) |
Common Stock(continued) | | | |
Information Technology - 12.14% | | | |
Broadcom | 1,468,300 | $ | 400,287,946 |
Cisco Systems | 8,996,747 | | 359,240,108 |
Intel | 6,947,629 | | 385,732,362 |
Oracle | 7,702,900 | | 380,985,434 |
| | | 1,526,245,850 |
Materials - 2.36% | | | |
DuPont de Nemours | 6,917,007 | | 296,739,600 |
| | | 296,739,600 |
Real Estate - 3.14% | | | |
Equity Residential | 5,266,800 | | 395,536,680 |
| | | 395,536,680 |
Utilities - 3.23% | | | |
Edison International | 6,049,500 | | 406,465,905 |
| | | 406,465,905 |
Total Common Stock(cost $10,231,149,197) | | | 12,460,730,569 |
|
Short-Term Investments – 0.81% | | | |
Money Market Mutual Funds - 0.81% | | | |
BlackRock FedFund – Institutional Shares (seven-day | | | |
effective yield 1.49%) | 20,411,469 | | 20,411,469 |
Fidelity Investments Money Market Government | | | |
Portfolio – Class I (seven-day effective yield 1.46%) | 20,411,470 | | 20,411,470 |
GS Financial Square Government Fund – Institutional | | | |
Shares (seven-day effective yield 1.47%) | 20,411,470 | | 20,411,470 |
Morgan Stanley Government Portfolio – Institutional Share | | | |
Class (seven-day effective yield 1.45%) | 20,411,469 | | 20,411,469 |
State Street Institutional US Government Money Market | | | |
Fund – Investor Class (seven-day effective yield 1.45%) | 20,411,469 | | 20,411,469 |
Total Short-Term Investments(cost $102,057,347) | | | 102,057,347 |
|
Total Value of Securities – 99.88% | | | |
(cost $10,333,206,544) | | | 12,562,787,916 |
Receivables and Other Assets Net of Liabilities – 0.12% | | | 14,525,655 |
Net Assets Applicable to 651,064,708 Shares Outstanding – 100.00% | | $ | 12,577,313,571 |
| |
† | Non-income producing security. |
GS – Goldman Sachs
2 NQ-456 [2/20] 4/20 (1139769)