Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
1
Shares
Common
Stock
(
48.9%
)
Value
Communications
Services
(2.7%)
29,892
Activision
Blizzard,
Inc.
$
2,419,757
7,017
Alphabet,
Inc.,
Class
A
a
10,284,115
1,426
Alphabet,
Inc.,
Class
C
a
2,095,650
4,718
ANGI
Homeservices
,
Inc.
a
52,346
497
AT&T,
Inc.
14,169
9,068
Cinemark
Holdings,
Inc.
90,680
56,065
Comcast
Corporation
2,593,567
879
Consolidated
Communications
Holdings,
Inc.
a
5,002
33,672
Discovery,
Inc.,
Class
A
a,b
733,039
20,217
DISH
Network
Corporation
a
586,900
1,698
EchoStar
Corporation
a
42,263
20,988
Facebook,
Inc.
a
5,496,757
18,705
Gannett
Company,
Inc.
24,317
770
Hemisphere
Media
Group,
Inc.
a
6,691
221
IAC/
InterActiveCorp
a
26,471
5,412
Interpublic
Group
of
Companies,
Inc.
90,218
70,720
Live
Nation
Entertainment,
Inc.
a
3,810,394
582
Match
Group,
Inc.
a
64,398
6,055
Meredith
Corporation
79,442
1,083
News Corporation
15,140
1,974
Omnicom
Group,
Inc.
97,713
40,533
ORBCOMM,
Inc.
a
137,812
103,581
QuinStreet
,
Inc.
a
1,640,723
6,574
RingCentral,
Inc.
a
1,805,286
1,164
Scholastic
Corporation
24,432
6,717
Take-Two
Interactive
Software,
Inc.
a
1,109,783
20,142
Twitter,
Inc.
a
896,319
74,552
Uber
Technologies,
Inc.
a
2,719,657
58,730
Verizon
Communications,
Inc.
3,493,848
6,370
Walt
Disney
Company
790,390
15,348
Zillow
Group,
Inc.
a
1,558,436
Total
42,805,715
Consumer
Discretionary
(7.0%)
2,617
Aaron's,
Inc.
148,253
4,065
Adient
plc
a
70,446
7,724
Amazon.com,
Inc.
a
24,320,791
6,277
American
Eagle
Outfitters,
Inc.
92,962
678
American
Public
Education,
Inc.
a
19,113
57,045
Aptiv
plc
5,229,886
2,392
At
Home
Group,
Inc.
a
35,545
1,530
AutoNation,
Inc.
a
80,983
1,053
AutoZone,
Inc.
a
1,240,055
3,511
Beazer
Homes
USA,
Inc.
a
46,345
5,600
Bed
Bath
&
Beyond,
Inc.
83,888
826
Big
Lots,
Inc.
36,840
4,604
BJ's
Restaurants,
Inc.
135,542
367
Booking
Holdings,
Inc.
a
627,820
17,123
Bright
Horizons
Family
Solutions,
Inc.
a
2,603,381
1,217
Brunswick
Corporation
71,693
11,878
Burlington
Stores,
Inc.
a
2,447,937
2,378
Caesars
Entertainment,
Inc.
a
133,311
2,285
Camping
World
Holdings,
Inc.
67,979
4,560
Capri
Holdings,
Ltd.
a
82,080
5,821
Carnival
Corporation
88,363
53
Cavco
Industries,
Inc.
a
9,556
34,700
Cedar
Fair,
LP
974,029
978
Century
Casinos,
Inc.
a
5,359
1,184
Century
Communities,
Inc.
a
50,119
20,811
Chewy,
Inc.
a,b
1,141,067
33,378
Chico's
FAS,
Inc.
32,460
3,449
Chipotle
Mexican
Grill,
Inc.
a
4,289,556
Shares
Common
Stock
(48.9%)
Value
Consumer
Discretionary
(7.0%)
-
continued
497
Choice
Hotels
International,
Inc.
$
42,722
1,097
Churchill
Downs,
Inc.
179,711
99,501
Cooper-Standard
Holdings,
Inc.
a
1,314,408
2,207
Cracker
Barrel
Old
Country
Store,
Inc.
253,055
29,502
Crocs,
Inc.
a
1,260,620
3,667
Culp,
Inc.
45,544
11,311
D.R.
Horton,
Inc.
855,451
4,484
Dana,
Inc.
55,243
2,972
Darden
Restaurants,
Inc.
299,399
4,219
Dave
&
Buster's
Entertainment,
Inc.
b
63,960
1,093
Deckers
Outdoor
Corporation
a
240,471
1,634
Denny's
Corporation
a
16,340
3,846
Designer
Brands,
Inc.
20,884
3,471
Dick's
Sporting
Goods,
Inc.
200,901
1,666
Dine
Brands
Global,
Inc.
90,947
5,560
Domino's
Pizza,
Inc.
2,364,557
91
Dorman
Products,
Inc.
a
8,225
71,522
Duluth
Holdings,
Inc.
a,b
873,999
1,481
Dunkin'
Brands
Group,
Inc.
121,309
1,136
eBay,
Inc.
59,186
8,099
Emerald
Holding,
Inc.
16,522
1,627
Ethan
Allen
Interiors,
Inc.
22,030
16,154
Etsy,
Inc.
a
1,964,811
4,681
Express,
Inc.
a
2,855
4,508
Extended
Stay
America,
Inc.
53,871
25,569
Five
Below,
Inc.
a
3,247,263
3,550
Foot
Locker,
Inc.
117,256
262
Fox
Factory
Holding
Corporation
a
19,474
5,031
Gap,
Inc.
85,678
5,183
Genuine
Parts
Company
493,266
7,472
Goodyear
Tire
&
Rubber
Company
57,310
2,850
Grand
Canyon
Education,
Inc.
a
227,829
22,569
Harley-Davidson,
Inc.
553,843
1,226
Helen
of
Troy,
Ltd.
a
237,256
21,572
Home
Depot,
Inc.
5,990,760
421
Hovnanian
Enterprises,
Inc.
a
13,691
1,977
Jack
in
the
Box,
Inc.
156,796
3,998
KB
Home
153,483
9,408
Knoll,
Inc.
113,460
12,465
Kohl's
Corporation
230,976
4,957
L
Brands,
Inc.
157,682
5,453
Lear
Corporation
594,650
31,395
Leggett
&
Platt,
Inc.
1,292,532
3,098
Lithia
Motors,
Inc.
706,158
17,407
Lowe's
Companies,
Inc.
2,887,125
4,330
Lululemon
Athletica
,
Inc.
a
1,426,172
7,329
Macy's,
Inc.
b
41,775
285
Madison
Square
Garden
Sports
Corporation
a
42,887
3,699
Marcus
Corporation
28,593
382
Marriott
Vacations
Worldwide
Corporation
34,689
12,462
Mattel,
Inc.
a
145,805
3,562
McDonald's
Corporation
781,823
32
Mercadolibre
,
Inc.
a
34,639
1,424
Meritage
Homes
Corporation
a
157,195
8,707
Michaels
Companies,
Inc.
a
84,066
11,812
Miller
Industries,
Inc.
361,093
3,383
Modine
Manufacturing
Company
a
21,144
5,296
Mohawk
Industries,
Inc.
a
516,837
368
Netflix,
Inc.
a
184,011
28,668
NIKE,
Inc.
3,598,981
6,786
Nordstrom,
Inc.
b
80,889
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
2
Shares
Common
Stock
(48.9%)
Value
Consumer
Discretionary
(7.0%)
-
continued
6,442
Norwegian
Cruise
Line
Holdings,
Ltd.
a
$
110,223
893
NVR,
Inc.
a
3,646,226
805
Office
Depot,
Inc.
15,657
27,870
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
2,434,444
913
Overstock.com,
Inc.
a
66,329
2,044
Park
Hotels
&
Resorts,
Inc.
20,420
8,931
Party
City
Holdco,
Inc.
a
23,221
11,815
Penn
National
Gaming,
Inc.
a
858,951
54,806
Planet
Fitness,
Inc.
a
3,377,146
59,725
Playa
Hotels
and
Resorts
NV
a
250,248
886
Polaris,
Inc.
83,585
493
Pool
Corporation
164,928
5,800
PulteGroup,
Inc.
268,482
1,334
PVH
Corporation
79,560
5,811
Qurate
Retail,
Inc.
41,723
448
Red
Robin
Gourmet
Burgers,
Inc.
a
5,896
35,890
Red
Rock
Resorts,
Inc.
613,719
4,459
RH
a
1,706,103
1,743
Royal
Caribbean
Cruises,
Ltd.
112,824
9,444
Ruth's
Hospitality
Group,
Inc.
104,451
4,324
Sally
Beauty
Holdings,
Inc.
a
37,576
467
SeaWorld
Entertainment,
Inc.
a
9,209
8,133
Six
Flags
Entertainment
Corporation
165,100
19,010
Skyline
Corporation
a
508,898
11,838
Sleep
Number
Corporation
a
578,997
15,140
Sony
Corporation
ADR
1,161,995
6,608
Standard
Motor
Products,
Inc.
295,047
45,254
Stoneridge,
Inc.
a
831,316
307
Strategic
Education,
Inc.
28,081
17,822
Taylor
Morrison
Home
Corporation
a
438,243
7,596
Tenneco,
Inc.
a
52,716
2,611
Tesla,
Inc.
a
1,120,145
58,530
Texas
Roadhouse,
Inc.
3,558,039
5,092
Thor
Industries,
Inc.
485,064
8,702
Toll
Brothers,
Inc.
423,439
6,098
TopBuild
Corporation
a
1,040,868
6,265
Tri
Pointe
Homes,
Inc.
a
113,647
472
Tupperware
Brands
Corporation
a
9,516
4,361
Ulta
Beauty,
Inc.
a
976,777
2,430
Urban
Outfitters,
Inc.
a
50,568
1,270
Vail
Resorts,
Inc.
271,742
516
Wayfair,
Inc.
a
150,161
627
Whirlpool
Corporation
115,299
1,252
Williams-Sonoma,
Inc.
113,231
9,101
Wingstop
,
Inc.
1,243,652
711
Workhorse
Group,
Inc.
a
17,974
1,666
Wyndham
Destinations,
Inc.
51,246
601
YETI
Holdings,
Inc.
a
27,237
1,277
Yum!
Brands,
Inc.
116,590
32,214
Zumiez
,
Inc.
a
896,193
Total
108,342,169
Consumer
Staples
(1.4%)
26,878
BJ's
Wholesale
Club
Holdings,
Inc.
a
1,116,781
11,743
Casey's
General
Stores,
Inc.
2,086,144
31,066
Celsius
Holdings,
Inc.
a
705,509
10,668
Colgate-Palmolive
Company
823,036
1,667
Costco
Wholesale
Corporation
591,785
134,518
Cott
Corporation
1,910,156
55,518
e.l.f
.
Beauty,
Inc.
a
1,019,866
34,540
Hain
Celestial
Group,
Inc.
a
1,184,722
9,010
John
B.
Sanfilippo
&
Son,
Inc.
679,174
Shares
Common
Stock
(48.9%)
Value
Consumer
Staples
(1.4%)
-
continued
4,810
Kimberly-Clark
Corporation
$
710,244
23,511
Lamb
Weston
Holdings,
Inc.
1,558,074
1,031
McCormick
&
Company,
Inc.
200,117
263
Medifast
,
Inc.
43,250
12,501
Monster
Beverage
Corporation
a
1,002,580
6,468
PepsiCo,
Inc.
896,465
2,570
Philip
Morris
International,
Inc.
192,724
5,182
Procter
&
Gamble
Company
720,246
1,036
Seneca
Foods
Corporation
a
37,016
2,055
Simply
Good
Foods
Company
a
45,313
2,785
TreeHouse
Foods,
Inc.
a
112,876
86,877
Turning
Point
Brands,
Inc.
2,423,868
407
Vector
Group,
Ltd.
3,944
24,204
Wal-Mart
Stores,
Inc.
3,386,382
Total
21,450,272
Energy
(0.8%)
7,965
Abraxas
Petroleum
Corporation
a
1,163
16,071
Antero
Midstream
Corporation
86,301
6,486
Apache
Corporation
61,422
21,388
Archrock
,
Inc.
115,067
38,089
BP
plc
ADR
665,034
10,057
Centennial
Resource
Development,
Inc.
a
6,058
5,401
ChampionX
Corporation
a
43,154
13,795
Chevron
Corporation
993,240
11,860
Cimarex
Energy
Company
288,554
10,238
CNX
Resources
Corporation
a
96,647
10,526
Concho
Resources,
Inc.
464,407
10,330
ConocoPhillips
339,237
7,840
Continental
Resources,
Inc.
b
96,275
8,097
Core
Laboratories
NV
123,560
2,043
Delek
US
Holdings,
Inc.
22,739
31,507
Devon
Energy
Corporation
298,056
13,143
Diamondback
Energy,
Inc.
395,867
15,716
EnLink
Midstream,
LLC
36,933
26,587
Enterprise
Products
Partners,
LP
419,809
4,943
EOG
Resources,
Inc.
177,651
21,089
EQT
Corporation
272,681
20,506
Equitrans
Midstream
Corporation
173,481
685
Evolution
Petroleum
Corporation
1,534
6,246
Exterran
Corporation
a
25,983
13,680
Exxon
Mobil
Corporation
469,634
9,242
Frank's
International
NV
a
14,233
20,227
Gran
Tierra
Energy,
Inc.
a
4,699
21,581
Halliburton
Company
260,051
88,119
Helmerich
&
Payne,
Inc.
1,290,943
5,062
Liberty
Oilfield
Services,
Inc.
40,445
43,930
Marathon
Oil
Corporation
179,674
20,940
Marathon
Petroleum
Corporation
614,380
532
Nabors
Industries,
Ltd.
13,002
10,064
NexTier
Oilfield
Solutions,
Inc.
a
18,618
92,134
Nine
Energy
Service,
Inc.
a
104,111
12,867
Oceaneering
International,
Inc.
a
45,292
24,499
Patterson-UTI
Energy,
Inc.
69,822
4,787
PBF
Energy,
Inc.
27,238
2,300
PDC
Energy,
Inc.
a
28,509
3,032
Peabody
Energy
Corporation
6,974
8,561
Pioneer
Natural
Resources
Company
736,160
5,439
Plains
GP
Holdings,
LP
33,124
2,748
ProPetro
Holding
Corporation
a
11,157
10,073
QEP
Resources,
Inc.
9,094
5,568
Range
Resources
Corporation
36,860
7,227
RPC,
Inc.
a
19,079
5,440
Schlumberger,
Ltd.
84,646
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
3
Shares
Common
Stock
(48.9%)
Value
Energy
(0.8%)
-
continued
38,232
SEACOR
Holdings,
Inc.
a
$
1,111,787
10,645
SM
Energy
Company
16,926
18,608
Southwestern
Energy
Company
a
43,729
22,809
Talos
Energy,
Inc.
a
147,118
5,092
Targa
Resources
Corporation
71,441
23,276
TechnipFMC
plc
146,872
9,447
Valero
Energy
Corporation
409,244
175,632
WPX
Energy,
Inc.
a
860,597
Total
12,130,312
Financials
(5.4%)
137
1st
Source
Corporation
4,225
21,030
Aflac,
Inc.
764,440
4,719
AG
Mortgage
Investment
Trust,
Inc.
13,024
42,737
Air
Lease
Corporation
1,257,323
1,242
Alleghany
Corporation
646,399
36,163
Ally
Financial,
Inc.
906,606
1,045
American
Equity
Investment
Life
Holding
Company
22,980
23,314
American
Express
Company
2,337,228
21,979
American
Financial
Group,
Inc.
1,472,153
15,720
American
International
Group,
Inc.
432,772
2,499
Ameriprise
Financial,
Inc.
385,121
18,829
Ameris
Bancorp
428,925
1,513
Aon
plc
312,132
9,539
Apollo
Commercial
Real
Estate
Finance,
Inc.
85,946
1,069
Argo
Group
International
Holdings,
Ltd.
36,806
17,424
Arthur
J.
Gallagher
&
Company
1,839,626
1,722
Artisan
Partners
Asset
Management,
Inc.
67,141
30,420
Associated
Banc-Corp
383,900
103,833
Assured
Guaranty,
Ltd.
2,230,333
5,306
Bancorp,
Inc.
a
45,844
68,862
Bank
of
America
Corporation
1,658,886
1,580
Bank
of
Marin
Bancorp
45,757
31,436
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
700,394
3,849
BankFinancial
Corporation
27,790
8,254
Banner
Corporation
266,274
2,531
Berkshire
Hathaway,
Inc.
a
538,951
32,510
Berkshire
Hills
Bancorp,
Inc.
328,676
1,580
BlackRock,
Inc.
890,409
1,605
Blackstone
Mortgage
Trust,
Inc.
35,262
41,686
Boston
Private
Financial
Holdings,
Inc.
230,107
1,259
Bridge
Bancorp,
Inc.
21,944
79,696
Bridgewater
Bancshares,
Inc.
a
756,315
4,405
Brighthouse
Financial,
Inc.
a
118,539
14,312
BrightSphere
Investment
Group
184,625
10,132
Brookline
Bancorp,
Inc.
87,591
1,441
Brown
&
Brown,
Inc.
65,234
2,423
Byline
Bancorp,
Inc.
27,331
19,497
Capital
One
Financial
Corporation
1,401,054
8,143
Central
Pacific
Financial
Corporation
110,501
52,568
Charles
Schwab
Corporation
1,904,539
9,609
Chubb,
Ltd.
1,115,797
2,222
Cincinnati
Financial
Corporation
173,249
8,521
CIT
Group,
Inc.
150,907
39,694
Citigroup,
Inc.
1,711,208
5,389
Citizens
Financial
Group,
Inc.
136,234
6,788
Cohen
&
Steers,
Inc.
378,363
43,887
Columbia
Banking
System,
Inc.
1,046,705
7,510
Comerica,
Inc.
287,257
Shares
Common
Stock
(48.9%)
Value
Financials
(5.4%)
-
continued
10,548
Community
Trust
Bancorp,
Inc.
$
298,086
1,294
Cullen/Frost
Bankers,
Inc.
82,751
579
Customers
Bancorp,
Inc.
a
6,485
289
Diamond
Hill
Investment
Group,
Inc.
36,506
19,392
Discover
Financial
Services
1,120,470
4,687
East
West
Bancorp,
Inc.
153,452
3,592
Ellington
Residential
Mortgage
REIT
39,871
790
Encore
Capital
Group,
Inc.
a
30,486
1,786
Enterprise
Financial
Services
Corporation
48,704
17,017
Essent
Group,
Ltd.
629,799
16,585
Evercore
,
Inc.
1,085,654
229,332
Everi
Holdings,
Inc.
a
1,891,989
14,742
F.N.B.
Corporation
99,951
1,875
FactSet
Research
Systems,
Inc.
627,900
1,491
FBL
Financial
Group,
Inc.
71,866
637
Federal
Agricultural
Mortgage
Corporation
40,551
6,153
Financial
Institutions,
Inc.
94,756
2,222
First
American
Financial
Corporation
113,122
3,498
First
Bancorp
73,213
22,962
First
BanCorp
119,862
44
First
Bancshares,
Inc.
923
11,476
First
Busey
Corporation
182,354
591
First
Citizens
BancShares
,
Inc.
188,399
4,047
First
Commonwealth
Financial
Corporation
31,324
16,168
First
Financial
Bancorp
194,097
3,660
First
Financial
Corporation
114,924
44,971
First
Interstate
BancSystem
,
Inc.
1,432,326
1,665
First
Merchants
Corporation
38,561
424
First
Mid-Illinois
Bancshares,
Inc.
10,579
7,797
First
Midwest
Bancorp,
Inc.
84,052
486
First
of
Long
Island
Corporation
7,198
7,297
First
Republic
Bank
795,811
983
Flagstar
Bancorp,
Inc.
29,126
1,555
Flushing
Financial
Corporation
16,359
52,133
Fulton
Financial
Corporation
486,401
14,671
Glacier
Bancorp,
Inc.
470,206
2,028
Goldman
Sachs
Group,
Inc.
407,567
7,293
Granite
Point
Mortgage
Trust,
Inc.
51,707
9,503
Great
Southern
Bancorp,
Inc.
344,199
12,274
Great
Western
Bancorp,
Inc.
152,811
12,937
Hamilton
Lane,
Inc.
835,601
29,147
Hancock
Whitney
Corporation
548,255
4,885
Hanmi
Financial
Corporation
40,106
5,103
Hanover
Insurance
Group,
Inc.
475,498
19,759
Hartford
Financial
Services
Group,
Inc.
728,317
50,437
Heartland
Financial
USA,
Inc.
1,512,858
114,299
Heritage
Commerce
Corporation
760,660
6,816
Hometrust
Bancshares,
Inc.
92,561
20,141
Hope
Bancorp,
Inc.
152,769
7,310
Horizon
Bancorp,
Inc.
73,758
7,321
Houlihan
Lokey
,
Inc.
432,305
8,269
Independent
Bank
Corporation
103,941
26,062
Interactive
Brokers
Group,
Inc.
1,259,576
652
International
Bancshares
Corporation
16,991
28,570
J.P.
Morgan
Chase
&
Company
2,750,434
9,650
Julius
Baer
Group,
Ltd.
409,859
25,654
Kemper
Corporation
1,714,457
60,354
KeyCorp
720,023
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
4
Shares
Common
Stock
(48.9%)
Value
Financials
(5.4%)
-
continued
8,137
Ladder
Capital
Corporation
$
57,935
2,754
Lakeland
Bancorp,
Inc.
27,402
1,744
Lincoln
National
Corporation
54,640
3,876
Loews
Corporation
134,691
939
Markel
Corporation
a
914,304
242
MarketAxess
Holdings,
Inc.
116,545
1,565
Marsh
&
McLennan
Companies,
Inc.
179,505
2,936
Mercantile
Bank
Corporation
52,907
13,771
Meridian
Bancorp,
Inc.
142,530
688
Meta
Financial
Group,
Inc.
13,223
18,290
MetLife,
Inc.
679,839
4,302
Midland
States
Bancorp,
Inc.
55,281
11,063
MidWestOne
Financial
Group,
Inc.
197,696
495
Moody's
Corporation
143,476
29,190
Morgan
Stanley
1,411,336
144
Morningstar,
Inc.
23,128
3,420
Mr.
Cooper
Group,
Inc.
a
76,334
4,524
MSCI,
Inc.
1,614,073
82
National
Western
Life
Group,
Inc.
14,987
5,046
Northern
Trust
Corporation
393,437
4,451
OFG
Bancorp
55,459
1,254
Old
Republic
International
Corporation
18,484
3,248
Old
Second
Bancorp,
Inc.
24,344
12,191
PacWest
Bancorp
208,222
471
Peapack
-Gladstone
Financial
Corporation
7,136
1,361
Peoples
Bancorp,
Inc.
25,981
25,392
Popular,
Inc.
920,968
14,057
Premier
Financial
Corporation
218,938
13,611
Primerica,
Inc.
1,539,949
18,523
Prosight
Global,
Inc.
a
210,051
7,707
QCR
Holdings,
Inc.
211,249
37,800
Radian
Group,
Inc.
552,258
14,823
Raymond
James
Financial,
Inc.
1,078,521
7,073
Redwood
Trust,
Inc.
53,189
8,521
Reinsurance
Group
of
America,
Inc.
811,114
7,766
S&P
Global,
Inc.
2,800,420
1,151
Safety
Insurance
Group,
Inc.
79,523
39,628
Santander
Consumer
USA
Holdings,
Inc.
720,833
69,741
Seacoast
Banking
Corporation
of
Florida
a
1,257,430
10,530
SEI
Investments
Company
534,082
9,906
Selective
Insurance
Group,
Inc.
510,060
152
Signature
Bank
12,614
9,326
Simmons
First
National
Corporation
147,864
1,161
Southside
Bancshares,
Inc.
28,363
5,251
Starwood
Property
Trust,
Inc.
79,238
8,177
State
Auto
Financial
Corporation
112,516
5,093
Sterling
Bancorp
53,578
4,387
SVB
Financial
Group
a
1,055,600
83,988
Synovus
Financial
Corporation
1,778,026
7,734
T.
Rowe
Price
Group,
Inc.
991,653
1,474
TCF
Financial
Corporation
34,433
1,384
Territorial
Bancorp,
Inc.
27,998
2,408
Texas
Capital
Bancshares,
Inc.
a
74,961
9,821
TMX
Group,
Ltd.
1,010,017
94
Torchmark
Corporation
7,511
2,603
Towne
Bank
42,689
10,771
TPG
RE
Finance
Trust,
Inc.
91,123
2,774
TriCo
Bancshares
67,935
46,448
Triumph
Bancorp,
Inc.
a
1,446,391
Shares
Common
Stock
(48.9%)
Value
Financials
(5.4%)
-
continued
23,350
Truist
Financial
Corporation
$
888,468
8,821
TrustCo
Bank
Corporation
46,046
6,262
Two
Harbors
Investment
Corporation
31,874
5,616
United
Bankshares
,
Inc.
120,576
528
Univest
Financial
Corporation
7,587
16,518
Valley
National
Bancorp
113,148
548
Walker
&
Dunlop,
Inc.
29,044
719
Washington
Federal,
Inc.
14,998
2,212
Washington
Trust
Bancorp,
Inc.
67,820
14,447
Webster
Financial
Corporation
381,545
60,940
Wells
Fargo
&
Company
1,432,699
4,068
WesBanco
,
Inc.
86,892
64,587
Western
Alliance
Bancorp
2,042,241
10,899
Western
Asset
Mortgage
Capital
Corporation
22,234
170
Westwood
Holdings
Group,
Inc.
1,894
11,962
Wintrust
Financial
Corporation
479,078
46,001
Zions
Bancorporations
NA
1,344,149
Total
84,719,473
Health
Care
(8.0%)
8,780
Abbott
Laboratories
955,527
2,361
AbbVie,
Inc.
206,800
1,710
Acadia
Healthcare
Company,
Inc.
a
50,411
63,103
ACADIA
Pharmaceuticals,
Inc.
a
2,602,999
401
Acceleron
Pharma,
Inc.
a
45,125
6,200
ADMA
Biologics,
Inc.
a
14,818
2,801
Adverum
Biotechnologies,
Inc.
a
28,850
2,617
Agile
Therapeutics,
Inc.
a
7,956
10,037
Agilent
Technologies,
Inc.
1,013,135
21,494
Agios
Pharmaceuticals,
Inc.
a
752,290
3,614
Akebia
Therapeutics,
Inc.
a
9,071
5,851
Alexion
Pharmaceuticals,
Inc.
a
669,530
3,912
Align
Technology,
Inc.
a
1,280,632
1,330
Alkermes
plc
a
22,038
3,234
AmerisourceBergen
Corporation
313,439
9,659
Amgen,
Inc.
2,454,931
23,675
AMN
Healthcare
Services,
Inc.
a
1,384,041
2,537
AnaptysBio
,
Inc.
a
37,421
1,476
Anavex
Life
Sciences
Corporation
a
6,716
3,845
Anthem,
Inc.
1,032,729
5,360
Arena
Pharmaceuticals,
Inc.
a
400,874
6,762
Argenx
SE
ADR
a
1,775,160
794
Assembly
Biosciences,
Inc.
a
13,053
1,696
Atara
Biotherapeutics
,
Inc.
a
21,980
72
Atrion
Corporation
45,072
457
AVROBIO,
Inc.
a
5,950
23,423
Axonics
Modulation
Technologies,
Inc.
a,b
1,195,510
383
Axsome
Therapeutics,
Inc.
a
27,289
3,579
Baxter
International,
Inc.
287,823
3,172
Becton,
Dickinson
and
Company
738,061
3,255
Biogen,
Inc.
a
923,378
30,102
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
1,956,931
1,080
Bio-Rad
Laboratories,
Inc.
a
556,697
9,805
Bio-
Techne
Corporation
2,428,993
941
Bluebird
Bio,
Inc.
a
50,767
641
Bruker
Corporation
25,480
1,964
Cantel
Medical
Corporation
86,298
51,536
Catalent
,
Inc.
a
4,414,574
20,370
Centene
Corporation
a
1,188,182
19,159
Cerner
Corporation
1,385,004
2,708
Charles
River
Laboratories
International,
Inc.
a
613,227
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
5
Shares
Common
Stock
(48.9%)
Value
Health
Care
(8.0%)
-
continued
650
Chemed
Corporation
$
312,228
7,307
Cigna
Holding
Company
1,237,879
1,990
Clovis
Oncology,
Inc.
a
11,602
5,103
CryoLife
,
Inc.
a
94,252
12,969
CVS
Health
Corporation
757,390
2,836
CytomX
Therapeutics,
Inc.
a
18,859
1,912
Danaher
Corporation
411,711
425
Deciphera
Pharmaceuticals,
Inc.
a
21,803
6,097
Dexcom
,
Inc.
a
2,513,366
4,262
Dynavax
Technologies
Corporation
a
18,412
1,203
Editas
Medicine,
Inc.
a
33,756
34,804
Edwards
Lifesciences
Corporation
a
2,778,055
3,369
Eli
Lilly
and
Company
498,679
446
Encompass
Health
Corporation
28,981
7,082
Gilead
Sciences,
Inc.
447,512
18,820
GlaxoSmithKline
plc
ADR
708,385
7,534
Global
Blood
Therapeutics,
Inc.
a
415,425
32,289
Guardant
Health,
Inc.
a
3,609,264
3,655
Haemonetics
Corporation
a
318,899
63,674
Halozyme
Therapeutics,
Inc.
a
1,673,353
7,050
HCA
Healthcare,
Inc.
878,994
506
HealthStream
,
Inc.
a
10,155
5,252
Hill-Rom
Holdings,
Inc.
438,595
4,156
Humana,
Inc.
1,720,127
20
ICU
Medical,
Inc.
a
3,655
402
IDEXX
Laboratories,
Inc.
a
158,030
4,835
ImmunoGen
,
Inc.
a
17,406
963
Incyte
Corporation
a
86,420
1,151
Insmed
,
Inc.
a
36,993
13,369
Inspire
Medical
Systems,
Inc.
a
1,725,269
8,227
Insulet
Corporation
a
1,946,426
4,997
Intuitive
Surgical,
Inc.
a
3,545,571
2,497
Invitae
Corporation
a
108,245
1,482
Iovance
Biotherapeutics
,
Inc.
a
48,787
4,070
IQVIA
Holding,
Inc.
a
641,554
7,851
Jazz
Pharmaceuticals,
Inc.
a
1,119,474
28,847
Johnson
&
Johnson
4,294,741
1,837
Laboratory
Corporation
of
America
Holdings
a
345,852
37,598
LHC
Group,
Inc.
a
7,991,831
4,482
Ligand
Pharmaceuticals,
Inc.
a,b
427,224
1,566
MacroGenics
,
Inc.
a
39,448
275
Masimo
Corporation
a
64,917
29,669
Medtronic
plc
3,083,202
35,257
Merck
&
Company,
Inc.
2,924,568
1,041
Mersana
Therapeutics,
Inc.
a
19,383
2,230
Mesa
Laboratories,
Inc.
b
568,115
706
Mettler
-Toledo
International,
Inc.
a
681,820
164
Mirati
Therapeutics,
Inc.
a
27,232
4,431
Molina
Healthcare,
Inc.
a
811,050
9,477
MyoKardia
,
Inc.
a
1,291,999
1,448
Myovant
Sciences,
Ltd.
a
20,344
24,979
Natera
,
Inc.
a
1,804,483
3,737
National
Healthcare
Corporation
232,852
1,493
Nektar
Therapeutics
a
24,769
860
Neogen
Corporation
a
67,295
2,950
Neurocrine
Biosciences,
Inc.
a
283,672
20,752
Nevro
Corporation
a
2,890,754
16,875
Novo
Nordisk
AS
ADR
1,171,631
98,909
Optinose
,
Inc.
a
385,745
1,390
Orthifix
Medical,
Inc.
a
43,285
4,023
PerkinElmer,
Inc.
504,927
802
Pfizer,
Inc.
29,433
14,419
PRA
Health
Sciences,
Inc.
a
1,462,663
666
Precision
BioSciences
,
Inc.
a
4,103
Shares
Common
Stock
(48.9%)
Value
Health
Care
(8.0%)
-
continued
2,451
Quest
Diagnostics,
Inc.
$
280,615
2,612
Quidel
Corporation
a
573,021
431
Reata
Pharmaceuticals,
Inc.
a
41,988
8,314
Repligen
Corporation
a
1,226,648
148
Replimune
Group,
Inc.
a
3,407
4,845
Retrophin
,
Inc.
a
89,439
3,057
Sage
Therapeutics,
Inc.
a
186,844
3,682
Sarepta
Therapeutics,
Inc.
a
517,063
28,876
Silk
Road
Medical,
Inc.
a,b
1,940,756
3,542
Spectrum
Pharmaceuticals,
Inc.
a
14,451
367
STERIS
plc
64,662
10,609
Stryker
Corporation
2,210,597
565
Surmodics
,
Inc.
a
21,984
29,928
Syneos
Health,
Inc.
a
1,590,973
56,251
Tactile
Systems
Technology,
Inc.
a
2,058,224
4,577
Teladoc
Health,
Inc.
a,b
1,003,461
7,613
Teleflex,
Inc.
2,591,617
5,107
Tenet
Healthcare
Corporation
a
125,173
8,236
Thermo
Fisher
Scientific,
Inc.
3,636,359
1,588
Tilray
,
Inc.
a
7,702
990
U.S.
Physical
Therapy,
Inc.
86,011
378
uniQure
B.V.
a
13,922
768
United
Therapeutics
Corporation
a
77,568
4,879
UnitedHealth
Group,
Inc.
1,521,126
5,431
Universal
Health
Services,
Inc.
581,226
15,950
VBI
Vaccines,
Inc.
a,b
45,617
20,503
Veeva
Systems,
Inc.
a
5,765,239
7,728
Vertex
Pharmaceuticals,
Inc.
a
2,102,943
513
Viking
Therapeutics,
Inc.
a
2,986
1,491
Waters
Corporation
a
291,759
160
West
Pharmaceutical
Services,
Inc.
43,984
3,274
Zimmer
Biomet
Holdings,
Inc.
445,722
28,533
Zoetis,
Inc.
4,718,502
8,861
Zymeworks
,
Inc.
a
412,745
Total
125,215,946
Industrials
(6.7%)
1,004
3M
Company
160,821
22,763
A.O.
Smith
Corporation
1,201,886
578
Acuity
Brands,
Inc.
59,158
3,584
AECOM
a
149,955
1,765
Aegion
Corporation
a
24,939
26,157
Aerojet
Rocketdyne
Holdings,
Inc.
a
1,043,403
13,676
AGCO
Corporation
1,015,716
5,084
Allegion
plc
502,858
89,679
Altra
Industrial
Motion
Corporation
3,315,433
6,230
American
Airlines
Group,
Inc.
b
76,567
16,574
AMETEK,
Inc.
1,647,456
49,806
Arconic
,
Inc.
832,756
52,154
ASGN,
Inc.
a
3,314,908
2,056
Avis
Budget
Group,
Inc.
a
54,114
11,452
AZZ,
Inc.
390,742
877
Bloom
Energy
Corporation
a
15,760
4,004
Boeing
Company
661,701
13,109
BWX
Technologies,
Inc.
738,168
5,811
Carlisle
Companies,
Inc.
711,092
37,680
Carrier
Global
Corporation
1,150,747
16,708
CBIZ,
Inc.
a
382,112
18,029
Chart
Industries,
Inc.
a
1,266,898
1,223
Cintas
Corporation
407,051
10,178
Copart
,
Inc.
a
1,070,318
1,676
CRA
International,
Inc.
62,800
12,434
Crane
Company
623,316
6,739
CSW
Industrials,
Inc.
520,588
8,836
CSX
Corporation
686,292
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
6
Shares
Common
Stock
(48.9%)
Value
Industrials
(6.7%)
-
continued
26,582
Curtiss-Wright
Corporation
$
2,479,037
25,060
Delta
Air
Lines,
Inc.
766,335
1,164
Douglas
Dynamics,
Inc.
39,809
2,318
Eaton
Corporation
plc
236,506
10,428
EMCOR
Group,
Inc.
706,080
11,367
Emerson
Electric
Company
745,334
9,899
Encore
Wire
Corporation
459,512
6,368
Expeditors
International
of
Washington,
Inc.
576,431
37
Exponent,
Inc.
2,665
12,621
Fluor
Corporation
111,191
9,566
Forrester
Research,
Inc.
a
313,669
32,307
Forward
Air
Corporation
1,853,776
4,676
FuelCell
Energy,
Inc.
a
10,007
5,342
Generac
Holdings,
Inc.
a
1,034,425
12,369
General
Dynamics
Corporation
1,712,241
4,789
Gorman-Rupp
Company
141,084
6,639
Heico
Corporation
694,838
25,902
Helios
Technologies,
Inc.
942,833
16,841
Honeywell
International,
Inc.
2,772,197
5,250
Hubbell,
Inc.
718,410
1,026
ICF
International,
Inc.
63,130
18,281
IDEX
Corporation
3,334,637
2,724
Illinois
Tool
Works,
Inc.
526,304
1,453
JB
Hunt
Transport
Services,
Inc.
183,630
36,270
Johnson
Controls
International
plc
1,481,629
5,140
Kansas
City
Southern
929,466
1,319
L3Harris
Technologies,
Inc.
224,019
8,175
Landstar
System,
Inc.
1,025,881
4,177
Lennox
International,
Inc.
1,138,692
34,146
Lincoln
Electric
Holdings,
Inc.
3,142,798
3,032
Linde
Public
Limited
Company
722,010
5,816
Lockheed
Martin
Corporation
2,229,156
29,453
Manpower,
Inc.
2,159,788
1,546
Masonite
International
Corporation
a
152,126
20,648
Mercury
Systems,
Inc.
a
1,599,394
144,178
Meritor,
Inc.
a
3,019,087
31,229
Middleby
Corporation
a
2,801,554
2,783
MSC
Industrial
Direct
Company,
Inc.
176,108
15,074
NAPCO
Security
Technologies,
Inc.
a
354,239
4,657
Nordson
Corporation
893,306
6,828
Norfolk
Southern
Corporation
1,461,124
17,822
Nutrien
,
Ltd.
699,157
14,695
Old
Dominion
Freight
Line,
Inc.
2,658,619
8,580
Otis
Worldwide
Corporation
535,564
9,004
Parker-Hannifin
Corporation
1,821,869
2,541
Quad/Graphics,
Inc.
7,699
59,728
Raven
Industries,
Inc.
1,285,347
17,170
Raytheon
Technologies
Corporation
987,962
5,233
Regal-Beloit
Corporation
491,222
878
Republic
Services,
Inc.
81,961
50,009
Ritchie
Brothers
Auctioneers,
Inc.
2,963,033
6,106
Rockwell
Automation,
Inc.
1,347,472
4,071
Roper
Industries,
Inc.
1,608,493
2,464
Ryder
System,
Inc.
104,079
19,024
Saia,
Inc.
a
2,399,687
4,960
Simpson
Manufacturing
Company,
Inc.
481,914
6,172
SiteOne
Landscape
Supply,
Inc.
a
752,675
1,327
Snap-On,
Inc.
195,241
62,448
Southwest
Airlines
Company
2,341,800
270
SP
Plus
Corporation
a
4,846
Shares
Common
Stock
(48.9%)
Value
Industrials
(6.7%)
-
continued
878
Spirit
Aerosystems
Holdings,
Inc.
$
16,603
2,331
Spirit
Airlines,
Inc.
a
37,529
708
SPX
FLOW,
Inc.
a
30,317
11,148
Standex
International
Corporation
659,962
52,074
Summit
Materials,
Inc.
a
861,304
1,436
Teledyne
Technologies,
Inc.
a
445,462
1,004
Thermon
Group
Holdings,
Inc.
a
11,275
15,257
Timken
Company
827,235
11,686
Toro
Company
981,040
28,382
Trex
Company,
Inc.
a
2,032,151
13,789
TriMas
Corporation
a
314,389
1,415
UniFirst
Corporation
267,959
3,783
Union
Pacific
Corporation
744,759
4,169
United
Airlines
Holdings,
Inc.
a
144,873
125
United
Parcel
Service,
Inc.
20,829
26,126
United
Rentals,
Inc.
a
4,558,987
10,868
Valmont
Industries,
Inc.
1,349,588
6,079
Verisk
Analytics,
Inc.
1,126,499
4,511
Waste
Connections,
Inc.
468,242
2,330
Watsco
,
Inc.
542,634
40,268
Willdan
Group,
Inc.
a
1,027,237
4,730
XPO
Logistics,
Inc.
a
400,442
Total
103,659,969
Information
Technology
(12.4%)
5,398
Accenture
plc
1,219,894
10,069
Adobe,
Inc.
a
4,938,140
1,709
ADTRAN,
Inc.
17,526
11,298
Advanced
Energy
Industries,
Inc.
a
711,096
14,324
Advanced
Micro
Devices,
Inc.
a
1,174,425
45,649
Agilysys
,
Inc.
a
1,102,880
10,642
Akamai
Technologies,
Inc.
a
1,176,367
15,919
Alliance
Data
Systems
Corporation
668,280
1,896
American
Software,
Inc.
26,620
28,568
Amphenol
Corporation
3,093,057
786
Analog
Devices,
Inc.
91,758
36,819
Anaplan,
Inc.
a
2,304,133
5,069
ANSYS,
Inc.
a
1,658,729
176,667
Apple,
Inc.
20,459,805
944
Aspen
Technology,
Inc.
a
119,501
6,835
Atlassian
Corporation
plc
a
1,242,535
1,032
Automatic
Data
Processing,
Inc.
143,954
15,456
Avalara,
Inc.
a
1,968,167
1,796
Avnet,
Inc.
46,409
11,409
Bandwidth,
Inc.
a
1,991,669
7,311
Benchmark
Electronics,
Inc.
147,317
26,774
Blackline,
Inc.
a
2,399,754
37
Broadcom,
Ltd.
13,480
3,903
Broadridge
Financial
Solutions,
Inc.
515,196
444
CACI
International,
Inc.
a
94,643
501
Cadence
Design
Systems,
Inc.
a
53,422
12,764
CDK
Global,
Inc.
556,383
15,538
CDW
Corporation
1,857,257
1,132
Ceridian
HCM
Holding,
Inc.
a
93,560
83,712
Change
Healthcare,
Inc.
a
1,214,661
33,927
Ciena
Corporation
a
1,346,563
78,140
Cisco
Systems,
Inc.
3,077,935
11,439
Cognex
Corporation
744,679
23,942
Computer
Services,
Inc.
1,484,404
11,172
Coupa
Software,
Inc.
a
3,063,809
5,626
Cree,
Inc.
a
358,601
5,012
CTS
Corporation
110,414
18,047
Descartes
Systems
Group,
Inc.
a
1,028,318
12,399
DocuSign,
Inc.
a
2,668,761
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
7
Shares
Common
Stock
(48.9%)
Value
Information
Technology
(12.4%)
-
continued
44,008
Dolby
Laboratories,
Inc.
$
2,916,850
681
Domo,
Inc.
a
26,103
30,548
Dropbox,
Inc.
a
588,354
977
DSP
Group,
Inc.
a
12,877
27,614
Elastic
NV
a
2,979,274
15,752
Endava
plc
ADR
a
994,739
2,306
EPAM
Systems,
Inc.
a
745,484
3,290
ePlus
,
Inc.
a
240,828
22,281
Euronet
Worldwide,
Inc.
a
2,029,799
40,911
Eventbrite,
Inc.
a,b
443,884
3,855
ExlService
Holdings,
Inc.
a
254,314
777
eXp
World
Holdings,
Inc.
a
31,344
2,246
F5
Networks,
Inc.
a
275,741
1,255
Fair
Isaac
Corporation
a
533,852
15,830
Five9,
Inc.
a
2,052,834
426
FLIR
Systems,
Inc.
15,272
948
Gartner,
Inc.
a
118,453
13,810
Global
Payments,
Inc.
2,452,380
13,107
Guidewire
Software,
Inc.
a
1,366,667
19,092
Health
Catalyst,
Inc.
a,b
698,767
4,953
II-VI,
Inc.
a
200,894
8,663
Inphi
Corporation
a
972,422
1,737
Intel
Corporation
89,942
2,489
InterDigital
,
Inc.
142,022
360
International
Business
Machines
Corporation
43,801
2,142
Intuit,
Inc.
698,742
1,925
Jack
Henry
&
Associates,
Inc.
312,986
4,019
Juniper
Networks,
Inc.
86,408
63
KLA-Tencor
Corporation
12,206
5,434
Lam
Research
Corporation
1,802,729
61,933
Lattice
Semiconductor
Corporation
a
1,793,580
5,800
Littelfuse
,
Inc.
1,028,572
25,659
Lumentum
Holdings,
Inc.
a
1,927,761
738
Manhattan
Associates,
Inc.
a
70,472
1,310
ManTech
International
Corporation
90,233
24,297
MasterCard,
Inc.
8,216,516
838
MaxLinear
,
Inc.
a
19,475
47,937
Medallia
,
Inc.
a,b
1,314,432
750
Methode
Electronics,
Inc.
21,375
417
Microchip
Technology,
Inc.
42,851
96,800
Microsoft
Corporation
20,359,944
1,578
MicroStrategy
,
Inc.
a
237,584
21,727
MKS
Instruments,
Inc.
2,373,240
19,068
Monolithic
Power
Systems,
Inc.
5,331,603
1,468
Motorola
Solutions,
Inc.
230,197
5,821
MTS
Systems
Corporation
111,239
38,123
National
Instruments
Corporation
1,360,991
270
NetApp,
Inc.
11,837
9,135
Nice,
Ltd.
ADR
a,b
2,073,919
11,797
Nova
Measuring
Instruments,
Ltd.
a
615,096
6,230
Novanta
,
Inc.
a
656,268
84,681
Nuance
Communications,
Inc.
a
2,810,562
11,333
NVIDIA
Corporation
6,133,646
25,859
Oracle
Corporation
1,543,782
7,143
Palo
Alto
Networks,
Inc.
a
1,748,249
2,254
Paychex,
Inc.
179,802
21
Paylocity
Holding
Corporation
a
3,390
22,600
PayPal
Holdings,
Inc.
a
4,452,878
13,756
Plexus
Corporation
a
971,586
1,250
Progress
Software
Corporation
45,850
6,363
Proofpoint
,
Inc.
a
671,615
12,132
Q2
Holdings,
Inc.
a
1,107,166
3,362
QAD,
Inc.
141,876
4,528
Qorvo
,
Inc.
a
584,157
Shares
Common
Stock
(48.9%)
Value
Information
Technology
(12.4%)
-
continued
11,200
QUALCOMM,
Inc.
$
1,318,016
356
Qualys
,
Inc.
a
34,892
6,293
Rogers
Corporation
a
617,092
32,892
SailPoint
Technologies
Holdings,
Inc.
a
1,301,536
6,141
Salesforce.com,
Inc.
a
1,543,356
1,004
Samsung
Electronics
Company,
Ltd.
GDR
1,272,996
2,535
ScanSource
,
Inc.
a
50,269
2,231
Semtech
Corporation
a
118,154
14,076
ServiceNow
,
Inc.
a
6,826,860
1,141
Silicon
Laboratories,
Inc.
a
111,647
163
Skyworks
Solutions,
Inc.
23,716
148
Solaredge
Technology,
Ltd.
a
35,276
20,357
Square,
Inc.
a
3,309,030
52,746
STMicroelectronics
NV
ADR
b
1,618,775
10,793
Synopsys,
Inc.
a
2,309,486
4,164
TE
Connectivity,
Ltd.
406,989
19,844
Texas
Instruments,
Inc.
2,833,525
184
Tyler
Technologies,
Inc.
a
64,135
3,897
VeriSign,
Inc.
a
798,300
42,551
Visa,
Inc.
8,508,923
3,197
VMware,
Inc.
a,b
459,313
5,942
WEX,
Inc.
a
825,760
30,194
Workiva
,
Inc.
a
1,683,617
490
Zendesk
,
Inc.
a
50,431
10,336
Zscaler
,
Inc.
a
1,454,172
Total
193,982,080
Materials
(1.6%)
3,315
AdvanSix
,
Inc.
a
42,697
497
Air
Products
and
Chemicals,
Inc.
148,036
3,186
AptarGroup,
Inc.
360,655
1,182
Avery
Dennison
Corporation
151,107
28,115
Axalta
Coating
Systems,
Ltd.
a
623,310
146
Balchem
Corporation
14,254
12,447
Ball
Corporation
1,034,595
2,775
Cabot
Corporation
99,983
1,522
Carpenter
Technology
Corporation
27,639
1,648
Celanese
Corporation
177,078
27,390
CF
Industries
Holdings,
Inc.
841,147
12,492
Chemours
Company
261,208
25,296
Eastman
Chemical
Company
1,976,123
12,192
Ecolab,
Inc.
2,436,449
102,111
Element
Solutions,
Inc.
a
1,073,187
8,150
Ferroglobe
Representation
&
Warranty
Insurance
Trust
a,c
1
1,360
FMC
Corporation
144,038
1,998
Ingevity
Corporation
a
98,781
6,281
Innospec
,
Inc.
397,713
233,406
Ivanhoe
Mines,
Ltd.
a
848,398
7,750
Kaiser
Aluminum
Corporation
415,322
1,477
Kraton
Performance
Polymers,
Inc.
a
26,320
97,954
Louisiana-Pacific
Corporation
2,890,623
10,252
Martin
Marietta
Materials,
Inc.
2,412,911
3,385
Materion
Corporation
176,122
3,818
Minerals
Technologies,
Inc.
195,100
6,988
Myers
Industries,
Inc.
92,451
6,540
Neenah,
Inc.
245,054
17,302
Nucor
Corporation
776,168
737
Olympic
Steel,
Inc.
8,372
4,118
PPG
Industries,
Inc.
502,725
7,971
Quaker
Chemical
Corporation
1,432,468
633
Reliance
Steel
&
Aluminum
Company
64,591
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
8
Shares
Common
Stock
(48.9%)
Value
Materials
(1.6%)
-
continued
852
RPM
International,
Inc.
$
70,580
3,449
Ryerson
Holding
Corporation
a
19,763
727
Scotts
Miracle-
Gro
Company
111,166
3,063
Sensient
Technologies
Corporation
176,858
845
Sherwin-Williams
Company
588,745
25,021
Steel
Dynamics,
Inc.
716,351
18,074
UFP
Technologies,
Inc.
a
748,625
13,458
United
States
Lime
&
Minerals,
Inc.
1,212,566
6,171
United
States
Steel
Corporation
45,295
22,561
W.
R.
Grace
&
Company
908,983
1,471
Worthington
Industries,
Inc.
59,987
Total
24,653,545
Real
Estate
(2.3%)
27,667
Agree
Realty
Corporation
1,760,728
3,467
Alexandria
Real
Estate
Equities,
Inc.
554,720
58,787
American
Campus
Communities,
Inc.
2,052,842
8,775
American
Tower
Corporation
2,121,181
5,374
Apartment
Investment
&
Management
Company
181,211
4,864
Armada
Hoffler
Properties,
Inc.
45,041
1,736
Ashford
Hospitality
Trust,
Inc.
2,864
3,717
AvalonBay
Communities,
Inc.
555,097
347
BBX
Capital
Corporation
4,646
75
Bluerock
Residential
Growth
REIT,
Inc.
569
18,968
Camden
Property
Trust
1,687,773
6,015
CareTrust
REIT,
Inc.
107,037
10,195
CBL
&
Associates
Properties,
Inc.
a
1,642
42,702
CBRE
Group,
Inc.
a
2,005,713
20,243
Cedar
Realty
Trust,
Inc.
16,397
17,480
Colliers
International
Group,
Inc.
1,165,741
2,315
Colony
Credit
Real
Estate,
Inc.
11,367
3,777
Columbia
Property
Trust,
Inc.
41,207
2,564
Community
Healthcare
Trust,
Inc.
119,893
1,442
Corepoint
Lodging,
Inc.
7,859
3,343
CoreSite
Realty
Corporation
397,416
3,186
CoStar
Group,
Inc.
a
2,703,353
46,987
Cushman
and
Wakefield
plc
a
493,833
16
CyrusOne
,
Inc.
1,120
3,900
Digital
Realty
Trust,
Inc.
572,364
7,734
Diversified
Healthcare
Trust
27,224
17,992
Douglas
Emmett,
Inc.
451,599
17,610
Duke
Realty
Corporation
649,809
2,136
EastGroup
Properties,
Inc.
276,249
4,073
EPR
Properties
112,008
5,623
Equity
Lifestyle
Properties,
Inc.
344,690
30,649
Essential
Properties
Realty
Trust,
Inc.
561,490
1,788
Essex
Property
Trust,
Inc.
359,013
2,323
Farmland
Partners,
Inc.
15,471
25,408
First
Industrial
Realty
Trust,
Inc.
1,011,238
8,908
FirstService
Corporation
1,174,876
20,429
Four
Corners
Property
Trust,
Inc.
522,778
3,574
Gaming
and
Leisure
Properties,
Inc.
131,988
5,396
Getty
Realty
Corporation
140,350
3,184
Gladstone
Commercial
Corporation
53,650
208
Gladstone
Land
Corporation
3,124
1,394
Global
Medical
REIT,
Inc.
18,819
23,764
Healthcare
Realty
Trust,
Inc.
715,772
80,609
Host
Hotels
&
Resorts,
Inc.
869,771
8,638
Industrial
Logistics
Properties
Trust
188,913
Shares
Common
Stock
(48.9%)
Value
Real
Estate
(2.3%)
-
continued
1,927
Innovative
Industrial
Properties,
Inc.
$
239,160
1,269
Investors
Real
Estate
Trust
82,701
3,031
Jones
Lang
LaSalle,
Inc.
289,945
19,024
Kilroy
Realty
Corporation
988,487
606
Lamar
Advertising
Company
40,099
3,356
Lexington
Realty
Trust
35,070
28,262
Medical
Properties
Trust,
Inc.
498,259
662
MGM
Growth
Properties
LLC
18,523
466
National
Health
Investors,
Inc.
28,086
9,169
National
Retail
Properties,
Inc.
316,422
52,177
National
Storage
Affiliates
Trust
1,706,710
11,451
New
Residential
Investment
Corporation
91,035
3,598
New
Senior
Investment
Group,
Inc.
14,392
13,040
NexPoint
Residential
Trust,
Inc.
578,324
6,047
Omega
Healthcare
Investors,
Inc.
181,047
2,277
One
Liberty
Properties,
Inc.
37,252
1,868
Physicians
Realty
Trust
33,456
1,214
Plymouth
Industrial
REIT,
Inc.
14,981
1,451
PotlatchDeltic
Corporation
61,087
4,727
Preferred
Apartment
Communities,
Inc.
25,526
20,108
Rayonier,
Inc.
REIT
531,656
9,369
Realty
Income
Corporation
569,167
391
Retail
Properties
of
America,
Inc.
2,272
17,994
Rexford
Industrial
Realty,
Inc.
823,405
246
RMR
Group,
Inc.
6,758
18,502
Sabra
Health
Care
REIT,
Inc.
255,050
4,408
SBA
Communications
Corporation
1,403,860
35,731
Service
Properties
Trust
284,061
8,067
Spirit
Realty
Capital,
Inc.
272,261
5,892
STAG
Industrial,
Inc.
179,647
5,029
Store
Capital
Corporation
137,945
135,445
Sunstone
Hotel
Investors,
Inc.
1,075,433
8,572
Terreno
Realty
Corporation
469,403
6,171
UDR,
Inc.
201,236
1,791
UMH
Properties,
Inc.
24,250
6,427
Uniti
Group,
Inc.
67,708
88
Universal
Health
Realty
Income
Trust
5,015
4,757
WP
Carey,
Inc.
309,966
Total
36,140,101
Utilities
(0.6%)
1,523
ALLETE,
Inc.
78,800
10,437
Alliant
Energy
Corporation
539,071
2,346
Artesian
Resources
Corporation
80,867
1,290
Black
Hills
Corporation
69,002
28,844
CenterPoint
Energy,
Inc.
558,131
380
Chesapeake
Utilities
Corporation
32,034
8,738
CMS
Energy
Corporation
536,601
1,994
Consolidated
Water
Company,
Ltd.
20,758
1,749
DTE
Energy
Company
201,205
11,370
Duke
Energy
Corporation
1,006,927
14,350
Entergy
Corporation
1,413,905
1,374
Essential
Utilities,
Inc.
55,303
14,558
Exelon
Corporation
520,594
14,719
FirstEnergy
Corporation
422,582
3,393
Hawaiian
Electric
Industries,
Inc.
112,783
1,503
IDACORP,
Inc.
120,090
358
Middlesex
Water
Company
22,250
1,395
National
Fuel
Gas
Company
56,623
5,422
New
Jersey
Resources
Corporation
146,502
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
9
Shares
Common
Stock
(48.9%)
Value
Utilities
(0.6%)
-
continued
1,495
NextEra
Energy,
Inc.
$
414,952
783
Northwest
Natural
Holding
Company
35,540
9,858
NorthWestern
Corporation
479,493
5,458
OGE
Energy
Corporation
163,685
1,250
Otter
Tail
Corporation
45,213
16,329
PNM
Resources,
Inc.
674,878
12,898
Portland
General
Electric
Company
457,879
1,052
South
Jersey
Industries,
Inc.
20,272
2,226
Southwest
Gas
Holdings,
Inc.
140,461
9,838
Spire,
Inc.
523,382
7,801
UGI
Corporation
257,277
1,540
Unitil
Corporation
59,506
Total
9,266,566
Total
Common
Stock
(cost
$566,244,228)
762,366,148
Shares
Registered
Investment
Companies
(
39.1%
)
Value
Unaffiliated (0.6%)
9,701
Health
Care
Select
Sector
SPDR
Fund
1,023,262
11,882
iShares
Dow
Jones
US
Home
Construction
Index
Fund
673,115
5,412
ProShares
Ultra
S&P
500
b
397,620
20,730
SPDR
S&P
500
ETF
Trust
6,942,270
13,530
SPDR
S&P
Regional
Banking
ETF
482,750
1,430
Utilities
Select
Sector
SPDR
Fund
b
84,913
Total
9,603,930
Affiliated (38.5%)
4,052,272
Thrivent
Core
Emerging
Markets
Equity
Fund
a
41,333,174
6,785,137
Thrivent
Core
International
Equity
Fund
60,184,169
7,868,125
Thrivent
Core
Low
Volatility
Equity
Fund
94,496,177
4,700,959
Thrivent
Global
Stock
Portfolio
58,087,872
2,181,096
Thrivent
High
Yield
Portfolio
9,733,796
538,894
Thrivent
Income
Portfolio
5,977,955
13,123,673
Thrivent
International
Allocation
Portfolio
117,158,968
826,224
Thrivent
International
Index
Portfolio
a
9,214,715
3,884,006
Thrivent
Large
Cap
Value
Portfolio
62,801,652
1,024,629
Thrivent
Limited
Maturity
Bond
Portfolio
10,286,964
4,586,424
Thrivent
Mid
Cap
Stock
Portfolio
84,585,129
2,946,745
Thrivent
Small
Cap
Stock
Portfolio
45,389,010
Total
599,249,581
Total
Registered
Investment
Companies
(cost
$587,711,969)
608,853,511
Principal
Amount
Long-Term
Fixed
Income
(
4.2%
)
Value
Collateralized
Mortgage
Obligations
(<0.1%)
MASTR
Alternative
Loans
Trust
$
18,133
0.598%,
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
d
3,074
Sequoia
Mortgage
Trust
50,301
3.426%,
9/20/2046,
Ser.
2007-1,
Class
4A1
d
38,853
Principal
Amount
Long-Term
Fixed
Income
(4.2%)
Value
Collateralized
Mortgage
Obligations
(<0.1%)
-
continued
WaMu
Mortgage
Pass
Through
Certificates
$
23,366
3.309%,
9/25/2036,
Ser.
2006-AR10,
Class
1A2
d
$
21,998
35,590
3.671%,
10/25/2036,
Ser.
2006-AR12,
Class
1A1
d
34,374
Total
98,299
Mortgage-Backed
Securities
(1.8%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,305,147
3.000%,
3/25/2050
1,368,559
413,273
3.000%,
4/1/2050
433,353
437,352
3.500%,
7/1/2047
462,767
Federal
National
Mortgage
Association
423,743
4.500%,
5/1/2048
458,916
663,890
3.500%,
10/1/2048
701,462
275,783
3.500%,
6/1/2049
291,724
774,546
3.500%,
8/1/2049
820,155
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
1,750,000
1.500%,
10/1/2035
e
1,790,059
2,000,000
2.000%,
10/1/2035
e
2,078,125
4,298,000
2.500%,
10/1/2035
e
4,487,381
2,667,000
2.000%,
11/1/2035
e
2,770,123
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
1,125,000
2.000%,
10/1/2050
e
1,162,969
4,150,000
2.500%,
10/1/2050
e,f
4,352,637
2,500,000
2.000%,
11/1/2050
e,f
2,578,198
1,850,000
2.500%,
11/1/2050
e
1,936,339
1,347,491
4.000%,
7/1/2048
1,437,207
1,050,000
3.000%,
10/1/2049
e
1,099,916
Total
28,229,890
U.S.
Government
&
Agencies
(2.4%)
U.S.
Treasury
Bonds
920,000
2.250%,
11/15/2027
1,034,209
5,000,000
2.875%,
5/15/2028
5,882,422
170,000
5.250%,
11/15/2028
233,836
120,000
3.000%,
5/15/2042
159,516
2,413,000
2.500%,
5/15/2046
2,981,092
U.S.
Treasury
Notes
100,000
2.500%,
2/28/2021
100,965
1,045,000
1.125%,
8/31/2021
1,054,144
1,475,000
1.500%,
9/30/2021
1,494,705
665,000
0.125%,
6/30/2022
664,844
940,000
2.000%,
11/30/2022
977,747
500,000
2.125%,
7/31/2024
536,602
2,330,000
2.250%,
11/15/2024
2,522,953
2,040,000
2.125%,
11/30/2024
2,200,092
640,000
2.625%,
1/31/2026
718,125
15,030,000
2.500%,
2/28/2026
16,787,218
Total
37,348,470
Total
Long-Term
Fixed
Income
(cost
$61,414,475)
65,676,659
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
10
Shares
Collateral
Held
for
Securities
Loaned
(
0.7%
)
Value
10,537,651
Thrivent
Cash
Management
Trust
$
10,537,651
Total
Collateral
Held
for
Securities
Loaned
(cost
$10,537,651)
10,537,651
Shares
or
Principal
Amount
Short-Term
Investments
(
9.2%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
3,600,000
0.064%,
10/7/2020
g,h
3,599,964
1,400,000
0.069%,
10/14/2020
g,h
1,399,970
3,200,000
0.080%,
10/28/2020
g,h
3,199,856
100,000
0.085%,
11/4/2020
g,h
99,993
2,100,000
0.085%,
11/5/2020
g,h
2,099,857
3,300,000
0.090%,
11/6/2020
g,h
3,299,769
800,000
0.060%,
11/10/2020
g,h
799,938
100,000
0.080%,
11/12/2020
g,h
99,992
6,100,000
0.072%,
11/18/2020
g,h
6,099,431
4,500,000
0.070%,
11/19/2020
g,h
4,499,571
6,300,000
0.055%,
11/24/2020
g,h
6,299,338
300,000
0.055%,
12/8/2020
g,h
299,949
7,700,000
0.075%,
12/22/2020
g,h
7,698,422
Thrivent
Core
Short-Term
Reserve
Fund
10,353,769
0.310%
103,537,689
Total
Short-Term
Investments
(cost
$142,978,718)
143,033,739
Total
Investments
(cost
$1,368,887,041)
102.1%
$1,590,467,708
Other
Assets
and
Liabilities,
Net
(2.1%)
(32,326,369)
Total
Net
Assets
100.0%
$1,558,141,339
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
f
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
g
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
h
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Aggressive
Allocation
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
10,299,833
Total
lending
$10,299,833
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$10,537,651
Net
amounts
due
to
counterparty
$237,818
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
ETF
-
Exchange
Traded
Fund
FNMA
-
Federal
National
Mortgage
Association
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
11
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Aggressive
Allocation
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
42,805,715
42,805,715
–
–
Consumer
Discretionary
108,342,169
108,342,169
–
–
Consumer
Staples
21,450,272
21,450,272
–
–
Energy
12,130,312
12,130,312
–
–
Financials
84,719,473
83,299,597
1,419,876
–
Health
Care
125,215,946
125,215,946
–
–
Industrials
103,659,969
103,659,969
–
–
Information
Technology
193,982,080
192,709,084
1,272,996
–
Materials
24,653,545
23,805,146
848,398
1
Real
Estate
36,140,101
36,140,101
–
–
Utilities
9,266,566
9,266,566
–
–
Registered
Investment
Companies
Unaffiliated
9,603,930
9,603,930
–
–
Affiliated
403,236,061
403,236,061
–
–
Long-Term
Fixed
Income
Collateralized
Mortgage
Obligations
98,299
–
98,299
–
Mortgage-Backed
Securities
28,229,890
–
28,229,890
–
U.S.
Government
&
Agencies
37,348,470
–
37,348,470
–
Short-Term
Investments
39,496,050
–
39,496,050
–
Subtotal
Investments
in
Securities
$1,280,378,848
$1,171,664,868
$108,713,979
$1
Other
Investments *
Total
Affiliated
Short-Term
Investments
103,537,689
Affiliated
Registered
Investment
Companies
196,013,520
Collateral
Held
for
Securities
Loaned
10,537,651
Subtotal
Other
Investments
$310,088,860
Total
Investments
at
Value
$1,590,467,708
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
365,441
365,441
–
–
Total
Asset
Derivatives
$365,441
$365,441
$–
$–
Liability
Derivatives
Futures
Contracts
5,379,159
5,379,159
–
–
Call
Options
Written
14,363
–
–
14,363
Total
Liability
Derivatives
$5,393,522
$5,379,159
$–
$14,363
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
12
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
Counterparty:
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Aggressive
Allocation
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$39,496,050
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
10-Yr.
U.S.
Treasury
Note
53
December
2020
$
7,373,796
$
21,361
CBOT
2-Yr.
U.S.
Treasury
Note
30
December
2020
6,627,280
1,549
CBOT
U.S.
Long
Bond
22
December
2020
3,911,260
(
33,072)
CME
E-mini
Russell
2000
Index
3
December
2020
223,432
2,228
CME
E-mini
S&P
500
Index
1,607
December
2020
268,994,874
338,326
CME
E-mini
S&P
Mid-Cap
400
Index
3
December
2020
554,793
1,977
CME
Euro
Foreign
Exchange
Currency
290
December
2020
42,836,703
(
295,516)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
24
December
2020
5,406,443
(
82,943)
Eurex
Euro
STOXX
50
Index
1,168
December
2020
45,357,333
(
1,809,480)
ICE
mini
MSCI
EAFE
Index
473
December
2020
45,135,027
(
1,306,847)
ICE
US
mini
MSCI
Emerging
Markets
Index
1,289
December
2020
71,384,200
(
1,230,375)
Total
Futures
Long
Contracts
$
497,805,141
(
$
4,392,792)
CBOT
5-Yr.
U.S.
Treasury
Note
(124)
December
2020
(
$
15,612,994)
(
$
14,881)
CME
E-mini
Russell
2000
Index
(1,291)
December
2020
(
96,696,151)
(
412,869)
CME
E-mini
S&P
Mid-Cap
400
Index
(958)
December
2020
(
177,609,921)
(
185,299)
Ultra
10-Yr.
U.S.
Treasury
Note
(20)
December
2020
(
3,190,561)
(
7,877)
Total
Futures
Short
Contracts
(
$
293,109,627)
($620,926)
Total
Futures
Contracts
$
204,695,514
($5,013,718)
The
following
table
presents
Aggressive
Allocation
Portfolio's
options
contracts
held
as
of
September
30,
2020.
Option
_
Description
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(1.00)
$
104.88
October
2020
(1,048,828)
(
$
1,451)
$
2,611
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(1.85)
102.78
November
2020
(1,907,866)
(
12,912)
(
1,927)
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Total
Options
Written
Contracts
($14,363)
$684
(*) Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
13
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Aggressive
Allocation
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity*
$–
$39,200
$–
$41,333
4,052
2.7%
Core
International
Equity
66,155
–
–
60,184
6,785
3.9
Core
Low
Volatility
Equity
64,230
30,000
–
94,496
7,868
6.1
Global
Stock
57,741
6,627
–
58,088
4,701
3.7
High
Yield
10,023
390
–
9,734
2,181
0.6
Income
5,559
157
–
5,978
539
0.4
International
Allocation
138,230
5,662
8,000
117,159
13,124
7.5
International
Index*
–
8,000
–
9,215
826
0.6
Large
Cap
Value
71,333
2,627
–
62,802
3,884
4.0
Limited
Maturity
Bond
9,999
167
–
10,287
1,025
0.7
Mid
Cap
Stock
85,507
3,272
–
84,585
4,586
5.4
Small
Cap
Stock
50,260
5,371
–
45,389
2,947
2.9
Total
Affiliated
Registered
Investment
Companies
559,037
599,250
38.4
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
144,108
270,315
310,916
103,538
10,354
6.7
Total
Affiliated
Short-Term
Investments
144,108
103,538
6.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
10,245
163,769
163,476
10,538
10,538
0.7
Total
Collateral
Held
for
Securities
Loaned
10,245
10,538
0.7
Total
Value
$713,390
$713,326
*
Non-income
producing
security.
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity*
$–
$2,133
–
$–
Core
International
Equity
–
(5,971)
–
–
Core
Low
Volatility
Equity
–
266
–
–
Global
Stock
–
(6,280)
5,669
957
High
Yield
–
(679)
–
390
Income
–
262
28
130
International
Allocation
(7,184)
(11,549)
1,932
3,730
International
Index*
–
1,215
–
–
Large
Cap
Value
–
(11,158)
1,393
1,234
Limited
Maturity
Bond
–
121
–
167
Mid
Cap
Stock
–
(4,194)
2,864
409
Small
Cap
Stock
–
(10,242)
5,053
317
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(24)
55
–
939
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$8,273
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
62
Total
Affiliated
Income
from
Securities
Loaned,
Net
$62
Total
Value
$(7,208)
$(46,021)
$16,939
*
Non-income
producing
security.
All
Cap
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
14
Shares
Common
Stock
(
98.3%
)
Value
Communications
Services
(5.2%)
730
Alphabet,
Inc.,
Class
A
a
$
1,069,888
21,720
Comcast
Corporation
1,004,767
12,490
Facebook,
Inc.
a
3,271,131
27,950
QuinStreet,
Inc.
a
442,728
9,590
Verizon
Communications,
Inc.
570,509
Total
6,359,023
Consumer
Discretionary
(10.7%)
1,630
Amazon.com,
Inc.
a
5,132,430
1,140
AutoZone,
Inc.
a
1,342,509
3,310
Burlington
Stores,
Inc.
a
682,158
10,870
Canada
Goose
Holdings,
Inc.
a,b
349,688
700
Chipotle
Mexican
Grill,
Inc.
a
870,597
7,090
Dollar
Tree,
Inc.
a
647,601
990
Domino's
Pizza,
Inc.
421,027
2,010
Netflix,
Inc.
a
1,005,060
180
NVR,
Inc.
a
734,962
17,980
Sony
Corporation
ADR
1,379,965
1,940
Texas
Roadhouse,
Inc.
117,933
2,973
Wingstop,
Inc.
406,260
Total
13,090,190
Consumer
Staples
(7.5%)
53,330
Alimentation
Couche-Tard,
Inc.
1,857,168
3,850
Casey's
General
Stores,
Inc.
683,953
20,520
Celsius
Holdings,
Inc.
a
466,009
15,040
Church
&
Dwight
Company,
Inc.
1,409,398
3,850
Costco
Wholesale
Corporation
1,366,750
18,420
Philip
Morris
International,
Inc.
1,381,316
18,610
Sysco
Corporation
1,157,914
28,220
Turning
Point
Brands,
Inc.
787,338
Total
9,109,846
Energy
(2.0%)
26,590
BP
plc
ADR
464,261
17,610
Helmerich
&
Payne,
Inc.
257,986
9,120
Pioneer
Natural
Resources
Company
784,229
13,380
Valero
Energy
Corporation
579,622
81,700
WPX
Energy,
Inc.
a
400,330
Total
2,486,428
Financials
(11.8%)
9,880
American
Express
Company
990,470
17,290
Arch
Capital
Group,
Ltd.
a
505,732
24,660
Assured
Guaranty,
Ltd.
529,697
37,060
Bank
of
America
Corporation
892,775
15,450
Essent
Group,
Ltd.
571,805
89,911
Everi
Holdings,
Inc.
a
741,766
13,900
First
Republic
Bank
1,515,934
29,170
Hartford
Financial
Services
Group,
Inc.
1,075,206
11,130
Interactive
Brokers
Group,
Inc.
537,913
10,160
Intercontinental
Exchange,
Inc.
1,016,508
19,100
J.P.
Morgan
Chase
&
Company
1,838,757
450
Markel
Corporation
a
438,165
24,351
Prosight
Global,
Inc.
a
276,140
4,640
S&P
Global,
Inc.
1,673,184
3,010
SVB
Financial
Group
a
724,266
15,490
Western
Alliance
Bancorp
489,794
17,730
Zions
Bancorporations
NA
518,071
Total
14,336,183
Health
Care
(13.6%)
9,020
Abbott
Laboratories
981,647
12,390
AMN
Healthcare
Services,
Inc.
a
724,319
Shares
Common
Stock
(98.3%)
Value
Health
Care
(13.6%)
-
continued
8,350
BioMarin
Pharmaceutical,
Inc.
a
$
635,268
7,260
Catalent,
Inc.
a
621,892
12,070
Centene
Corporation
a
704,043
10,560
Cigna
Holding
Company
1,788,970
1,190
Dexcom,
Inc.
a
490,554
4,690
Guardant
Health,
Inc.
a
524,248
5,960
Jazz
Pharmaceuticals,
Inc.
a
849,836
16,040
Johnson
&
Johnson
2,388,035
4,960
LHC
Group,
Inc.
a
1,054,298
19,760
Medtronic
plc
2,053,459
25,160
Merck
&
Company,
Inc.
2,087,022
6,250
Syneos
Health,
Inc.
a
332,250
5,150
Vertex
Pharmaceuticals,
Inc.
a
1,401,418
Total
16,637,259
Industrials
(10.9%)
19,760
Altra
Industrial
Motion
Corporation
730,527
25,500
Arconic,
Inc.
426,360
5,710
Carlisle
Companies,
Inc.
698,733
7,510
Honeywell
International,
Inc.
1,236,221
8,980
Kansas
City
Southern
1,623,853
3,070
Lockheed
Martin
Corporation
1,176,670
20,770
Meritor,
Inc.
a
434,924
2,840
Nordson
Corporation
544,769
4,860
Parker-Hannifin
Corporation
983,372
15,770
Ritchie
Brothers
Auctioneers,
Inc.
934,373
4,660
Roper
Industries,
Inc.
1,841,213
7,470
Timken
Company
405,023
7,070
Toro
Company
593,527
3,550
Valmont
Industries,
Inc.
440,839
6,610
Waste
Connections,
Inc.
686,118
18,540
Willdan
Group,
Inc.
a
472,955
Total
13,229,477
Information
Technology
(26.0%)
4,010
Adobe,
Inc.
a
1,966,624
5,140
Akamai
Technologies,
Inc.
a
568,176
4,910
Alliance
Data
Systems
Corporation
206,122
1,680
ANSYS,
Inc.
a
549,746
36,400
Apple,
Inc.
4,215,484
6,160
Atlassian
Corporation
plc
a
1,119,826
5,590
Blackline,
Inc.
a
501,032
10,290
Ciena
Corporation
a
408,410
17,820
Cisco
Systems,
Inc.
701,930
9,400
Dolby
Laboratories,
Inc.
623,032
3,960
Euronet
Worldwide,
Inc.
a
360,756
4,270
F5
Networks,
Inc.
a
524,228
7,010
Five9,
Inc.
a
909,057
25,920
Juniper
Networks,
Inc.
557,280
25,340
Lattice
Semiconductor
Corporation
a
733,846
5,290
MasterCard,
Inc.
1,788,919
13,610
Microsoft
Corporation
2,862,591
16,560
National
Instruments
Corporation
591,192
24,210
Nuance
Communications,
Inc.
a
803,530
3,880
NVIDIA
Corporation
2,099,934
9,000
PayPal
Holdings,
Inc.
a
1,773,270
5,640
ServiceNow,
Inc.
a
2,735,400
6,145
Snowflake,
Inc.
a
1,542,395
10,150
Visa,
Inc.
2,029,696
14,810
Xilinx,
Inc.
1,543,794
Total
31,716,270
Materials
(4.1%)
51,660
Axalta
Coating
Systems,
Ltd.
a
1,145,302
5,210
Ball
Corporation
433,055
All
Cap
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
15
Shares
Common
Stock
(98.3%)
Value
Materials
(4.1%)
-
continued
8,130
Berry
Plastics
Group,
Inc.
a
$
392,841
10,290
CF
Industries
Holdings,
Inc.
316,006
15,490
Eastman
Chemical
Company
1,210,079
18,460
Element
Solutions,
Inc.
a
194,015
29,970
Louisiana-Pacific
Corporation
884,415
1,710
Martin
Marietta
Materials,
Inc.
402,466
Total
4,978,179
Real
Estate
(3.7%)
3,390
Alexandria
Real
Estate
Equities,
Inc.
542,400
2,340
AvalonBay
Communities,
Inc.
349,456
5,900
Camden
Property
Trust
524,982
12,465
Cousins
Properties,
Inc.
356,374
2,360
Crown
Castle
International
Corporation
392,940
15,540
Duke
Realty
Corporation
573,426
730
Equinix,
Inc.
554,895
21,090
Physicians
Realty
Trust
377,722
4,390
Prologis,
Inc.
441,722
5,470
QTS
Realty
Trust,
Inc.
344,719
Total
4,458,636
Utilities
(2.8%)
10,600
Duke
Energy
Corporation
938,736
8,140
Evergy,
Inc.
413,675
2,441
NextEra
Energy,
Inc.
677,524
7,090
NorthWestern
Corporation
344,857
11,820
PNM
Resources,
Inc.
488,521
29,970
Vistra
Energy
Corporation
565,234
Total
3,428,547
Total
Common
Stock
(cost
$100,673,307)
119,830,038
Shares
Registered
Investment
Companies
(
1.0%
)
Value
Unaffiliated (1.0%)
12,930
Materials
Select
Sector
SPDR
Fund
822,865
7,740
SPDR
S&P
Homebuilders
ETF
417,031
Total
1,239,896
Total
Registered
Investment
Companies
(cost
$1,095,044)
1,239,896
Shares
Collateral
Held
for
Securities
Loaned
(
0.2%
)
Value
314,150
Thrivent
Cash
Management
Trust
314,150
Total
Collateral
Held
for
Securities
Loaned
(cost
$314,150)
314,150
Shares
Short-Term
Investments
(
0.7%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
82,069
0.310%
820,693
Total
Short-Term
Investments
(cost
$819,953)
820,693
Total
Investments
(cost
$102,902,454)
100.2%
$122,204,777
Other
Assets
and
Liabilities,
Net
(0.2%)
(301,208)
Total
Net
Assets
100.0%
$121,903,569
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
All
Cap
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
331,351
Total
lending
$331,351
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$314,150
Net
amounts
due
to
counterparty
$(17,201)
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
ETF
-
Exchange
Traded
Fund
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
All
Cap
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
16
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
All
Cap
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
6,359,023
6,359,023
–
–
Consumer
Discretionary
13,090,190
13,090,190
–
–
Consumer
Staples
9,109,846
7,252,678
1,857,168
–
Energy
2,486,428
2,486,428
–
–
Financials
14,336,183
14,336,183
–
–
Health
Care
16,637,259
16,637,259
–
–
Industrials
13,229,477
13,229,477
–
–
Information
Technology
31,716,270
31,716,270
–
–
Materials
4,978,179
4,978,179
–
–
Real
Estate
4,458,636
4,458,636
–
–
Utilities
3,428,547
3,428,547
–
–
Registered
Investment
Companies
Unaffiliated
1,239,896
1,239,896
–
–
Subtotal
Investments
in
Securities
$121,069,934
$119,212,766
$1,857,168
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
820,693
Collateral
Held
for
Securities
Loaned
314,150
Subtotal
Other
Investments
$1,134,843
Total
Investments
at
Value
$122,204,777
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
All
Cap
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1,093
$9,207
$9,478
$821
82
0.7%
Total
Affiliated
Short-Term
Investments
1,093
821
0.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
330
16
314
314
0.2
Total
Collateral
Held
for
Securities
Loaned
–
314
0.2
Total
Value
$1,093
$1,135
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(2)
$1
–
$16
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$16
Cash
Management
Trust-
Collateral
Investment
–
–
–
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$(2)
$1
$–
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
17
Principal
Amount
Bank
Loans
(
15.2%
)
a
Value
Basic
Materials
(0.6%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
205,275
4.756%,
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
196,859
Hexion,
Inc.,
Term
Loan
346,670
3.800%,
(LIBOR
3M
+
3.500%),
7/1/2026
b
340,603
Innophos
Holdings,
Inc.,
Term
Loan
348,250
3.897%,
(LIBOR
1M
+
3.750%),
2/7/2027
b,c
344,767
Momentive
Performance
Materials
USA,
LLC,
Term
Loan
332,787
3.410%,
(LIBOR
1M
+
3.250%),
5/15/2024
b
318,022
Nouryon
USA,
LLC,
Term
Loan
585,425
3.151%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
565,983
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
681,445
7.500%,
(LIBOR
1M
+
6.500%),
10/31/2024
b
678,037
Total
2,444,271
Capital
Goods
(1.6%)
Advanced
Disposal
Services,
Inc.,
Term
Loan
349,272
3.000%,
(LIBOR
1W
+
2.250%),
11/10/2023
b
348,399
Asplundh
Tree
Expert,
LLC,
Term
Loan
225,000
0.000%,
(LIBOR
1M
+
2.500%),
9/4/2027
b,d,e
224,579
Flex
Acquisition
Company,
Inc.
Term
Loan
703,126
3.546%,
(LIBOR
3M
+
3.250%),
6/29/2025
b
681,153
GFL
Environmental,
Inc.,
Term
Loan
908,737
4.000%,
(LIBOR
3M
+
3.000%),
5/31/2025
b
903,739
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
498,735
3.523%,
(LIBOR
3M
+
3.250%),
4/3/2024
b
467,255
Natgasoline,
LLC,
Term
Loan
427,388
3.813%,
(LIBOR
3M
+
3.500%),
11/14/2025
b,c
406,018
Navistar,
Inc.,
Term
Loan
755,625
3.660%,
(LIBOR
1M
+
3.500%),
11/6/2024
b
748,069
Reynolds
Group
Holdings,
Inc.,
Term
Loan
252,727
3.979%,
(LIBOR
1M
+
2.750%),
2/5/2023
b
249,348
450,000
0.000%,
(LIBOR
1M
+
3.250%),
2/16/2026
b,d,e
441,450
TransDigm,
Inc.,
Term
Loan
1,220,775
2.397%,
(LIBOR
1M
+
2.250%),
12/9/2025
b
1,152,106
Principal
Amount
Bank
Loans
(15.2%)
a
Value
Capital
Goods
(1.6%)
-
continued
Vertiv
Group
Corporation,
Term
Loan
$
1,164,150
3.157%,
(LIBOR
1M
+
3.000%),
3/2/2027
b
$
1,144,360
Total
6,766,476
Communications
Services
(4.1%)
Altice
France
SA,
Term
Loan
338,625
2.897%,
(LIBOR
1M
+
2.750%),
7/31/2025
b
322,520
CenturyLink,
Inc.,
Term
Loan
1,237,982
2.397%,
(LIBOR
1M
+
2.250%),
3/15/2027
b
1,187,361
CommScope,
Inc.,
Term
Loan
905,850
3.397%,
(LIBOR
1M
+
3.250%),
4/4/2026
b
881,102
Coral-US
Co-Borrower,
LLC,
Term
Loan
1,440,000
2.397%,
(LIBOR
1M
+
2.250%),
1/31/2028
b
1,391,069
CSC
Holdings,
LLC,
Term
Loan
624,037
2.402%,
(LIBOR
1M
+
2.250%),
7/17/2025
b
602,639
1,333,300
2.652%,
(LIBOR
1M
+
2.500%),
4/15/2027
b
1,290,248
Diamond
Sports
Group,
LLC,
Term
Loan
1,035,271
3.400%,
(LIBOR
1M
+
3.250%),
8/24/2026
b
798,888
Entercom
Media
Corporation,
Term
Loan
521,204
2.645%,
(LIBOR
1M
+
2.500%),
11/17/2024
b
489,280
GCI,
LLC,
Term
Loan
825,000
0.000%,
(LIBOR
1M
+
2.750%),
9/24/2025
b,c,d,e
818,812
Gray
Television,
Inc.,
Term
Loan
315,000
2.405%,
(LIBOR
1M
+
2.250%),
2/7/2024
b
307,856
HCP
Acquisition,
LLC,
Term
Loan
684,779
4.000%,
(LIBOR
1M
+
3.000%),
5/16/2024
b
679,787
iHeartCommunications,
Inc.,
Term
Loan
402,970
3.147%,
(LIBOR
1M
+
3.000%),
5/1/2026
b
381,500
Mediacom
Illinois,
LLC,
Term
Loan
150,890
1.860%,
(LIBOR
1W
+
1.750%),
2/15/2024
b
149,381
NEP
Group,
Inc.,
Term
Loan
707,400
3.397%,
(LIBOR
1M
+
3.250%),
10/20/2025
b
606,419
Nexstar
Broadcasting,
Inc.,
Term
Loan
860,000
2.905%,
(LIBOR
1M
+
2.750%),
9/19/2026
b
839,936
Nielsen
Finance,
LLC,
Term
Loan
279,300
4.750%,
(LIBOR
1M
+
3.750%),
6/4/2025
b
278,741
Radiate
Holdco,
LLC,
Term
Loan
1,235,000
0.000%,
(LIBOR
1M
+
3.500%),
9/11/2026
b,d,e
1,211,844
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
18
Principal
Amount
Bank
Loans
(15.2%)
a
Value
Communications
Services
(4.1%)
-
continued
SBA
Senior
Finance
II,
LLC,
Term
Loan
$
514,835
1.900%,
(LIBOR
1M
+
1.750%),
4/11/2025
b
$
500,852
Terrier
Media
Buyer,
Inc.,
Term
Loan
421,812
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
410,816
224,438
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
217,985
T-Mobile
USA,
Inc.,
Term
Loan
862,837
3.147%,
(LIBOR
1M
+
3.000%),
4/1/2027
b
861,526
TNS,
Inc.,
Term
Loan
282,626
4.150%,
(LIBOR
1M
+
4.000%),
8/14/2022
b
280,153
Virgin
Media
Bristol,
LLC,
Term
Loan
1,170,000
2.652%,
(LIBOR
1M
+
2.500%),
1/31/2028
b
1,133,929
WideOpenWest
Finance,
LLC,
Term
Loan
654,014
4.250%,
(LIBOR
1M
+
3.250%),
8/19/2023
b
643,079
Windstream
Services,
LLC,
Term
Loan
203,439
0.000%,
(PRIME
+
5.000%),
3/30/2021
b,f
122,470
Xplornet
Communications,
Inc.,
Term
Loan
204,488
4.897%,
(LIBOR
1M
+
4.750%),
6/11/2027
b
200,271
Ziggo
Financing
Partnership,
Term
Loan
760,000
2.652%,
(LIBOR
1M
+
2.500%),
4/30/2028
b
730,124
Total
17,338,588
Consumer
Cyclical
(2.1%)
1011778
B.C.,
LLC,
Term
Loan
1,250,550
1.897%,
(LIBOR
1M
+
1.750%),
11/19/2026
b
1,196,876
Boyd
Gaming
Corporation,
Term
Loan
196,761
2.356%,
(LIBOR
1W
+
2.250%),
9/15/2023
b
191,076
Caesars
Resort
Collection,
LLC,
Term
Loan
695,000
0.000%,
(LIBOR
1M
+
4.500%),
7/20/2025
b,d,e
671,641
Cengage
Learning,
Inc.,
Term
Loan
342,380
5.250%,
(LIBOR
3M
+
4.250%),
6/7/2023
b
285,398
Four
Seasons
Hotels,
Ltd.,
Term
Loan
559,028
2.147%,
(LIBOR
1M
+
2.000%),
11/30/2023
b
542,956
Golden
Entertainment,
Inc.,
Term
Loan
1,032,550
3.750%,
(LIBOR
1M
+
3.000%),
10/20/2024
b
987,376
Golden
Nugget,
LLC,
Term
Loan
517,017
3.250%,
(LIBOR
2M
+
2.500%),
10/4/2023
b
459,597
Principal
Amount
Bank
Loans
(15.2%)
a
Value
Consumer
Cyclical
(2.1%)
-
continued
IAA,
Inc.,
Term
Loan
$
217,687
2.438%,
(LIBOR
1M
+
2.250%),
6/28/2026
b,c
$
213,878
LCPR
Loan
Financing,
LLC,
Term
Loan
1,120,000
5.152%,
(LIBOR
1M
+
5.000%),
10/15/2026
b
1,117,671
Michaels
Stores,
Inc.,
Term
Loan
495,000
0.000%,
(LIBOR
1M
+
3.500%),
9/17/2027
b,c,d,e
482,625
Scientific
Games
International,
Inc.,
Term
Loan
1,805,592
3.471%,
(LIBOR
1M
+
2.750%),
8/14/2024
b
1,694,747
Staples,
Inc.,
Term
Loan
192,064
4.751%,
(LIBOR
3M
+
4.500%),
9/12/2024
b
180,219
479,335
5.251%,
(LIBOR
3M
+
5.000%),
4/12/2026
b
444,732
Stars
Group
Holdings
BV,
Term
Loan
502,562
3.720%,
(LIBOR
3M
+
3.500%),
7/10/2025
b
500,853
Total
8,969,645
Consumer
Non-Cyclical
(2.8%)
Bausch
Health
Americas,
Inc.,
Term
Loan
1,068,158
3.151%,
(LIBOR
1M
+
3.000%),
6/1/2025
b
1,045,684
Bellring
Brands,
LLC,
Term
Loan
204,684
6.000%,
(LIBOR
1M
+
5.000%),
10/21/2024
b
204,770
Change
Healthcare
Holdings,
LLC,
Term
Loan
409,551
3.500%,
(LIBOR
1M
+
2.500%),
3/1/2024
b
400,402
Chobani,
LLC,
Term
Loan
531,720
4.500%,
(LIBOR
1M
+
3.500%),
10/10/2023
b
525,074
Dole
Food
Company,
Inc.,
Term
Loan
409,429
3.750%,
(LIBOR
1M
+
2.750%),
4/6/2024
b,d,e
402,862
Endo
International
plc,
Term
Loan
567,286
5.000%,
(LIBOR
3M
+
4.250%),
4/27/2024
b
538,922
Energizer
Holdings,
Inc.,
Term
Loan
100,320
2.438%,
(LIBOR
1M
+
2.250%),
12/17/2025
b
98,564
Global
Medical
Response,
Inc.,
Term
Loan
1,714,990
4.250%,
(LIBOR
3M
+
3.250%),
4/28/2022
b
1,708,833
1,755,000
0.000%,
(LIBOR
1M
+
4.750%),
9/24/2025
b,d,e
1,713,863
Grifols
Worldwide
Operations
USA,
Inc.,
Term
Loan
575,650
2.100%,
(LIBOR
1W
+
2.000%),
11/15/2027
b
563,061
IQVIA,
Inc.,
Term
Loan
144,256
1.897%,
(LIBOR
1M
+
1.750%),
1/1/2025
b
142,123
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
19
Principal
Amount
Bank
Loans
(15.2%)
a
Value
Consumer
Non-Cyclical
(2.8%)
-
continued
JBS
USA
LUX
SA,
Term
Loan
$
856,307
2.147%,
(LIBOR
1M
+
2.000%),
5/1/2026
b
$
831,902
Libbey
Glass,
Inc.,
Term
Loan
299,409
0.000%,PIK
5.750%,
(LIBOR
1M
+
5.000%),
4/9/2021
b,g,h
46,908
MPH
Acquisition
Holdings,
LLC,
Term
Loan
1,440,000
3.750%,
(LIBOR
3M
+
2.750%),
6/7/2023
b
1,415,318
Ortho-Clinical
Diagnostics
SA,
Term
Loan
1,303,435
3.406%,
(LIBOR
1M
+
3.250%),
6/30/2025
b
1,245,432
Plantronics,
Inc.,
Term
Loan
409,649
2.647%,
(LIBOR
1M
+
2.500%),
7/2/2025
b
383,874
R.R.
Donnelley
&
Sons
Company,
Term
Loan
98,744
5.147%,
(LIBOR
1M
+
5.000%),
1/15/2024
b
94,053
Sotera
Health
Holdings,
LLC,
Term
Loan
452,725
5.500%,
(LIBOR
3M
+
4.500%),
12/13/2026
b
450,461
US
Foods,
Inc.,
Term
Loan
139,273
1.897%,
(LIBOR
1M
+
1.750%),
6/27/2023
b
133,702
Total
11,945,808
Energy
(0.4%)
BCP
Raptor
II,
LLC,
Term
Loan
399,937
4.897%,
(LIBOR
1M
+
4.750%),
11/3/2025
b
278,624
Buckeye
Partners,
LP,
Term
Loan
149,250
2.897%,
(LIBOR
1M
+
2.750%),
11/1/2026
b,d,e
146,265
Calpine
Corporation,
Term
Loan
591,279
2.400%,
(LIBOR
1M
+
2.250%),
1/15/2024
b
574,599
CONSOL
Energy,
Inc.,
Term
Loan
428,475
4.650%,
(LIBOR
1M
+
4.500%),
9/28/2024
b
341,709
Illuminate
Buyer,
LLC,
Term
Loan
390,000
4.147%,
(LIBOR
1M
+
4.000%),
6/30/2027
b
386,346
Total
1,727,543
Financials
(1.4%)
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
408,618
2.500%,
(LIBOR
1M
+
1.750%),
1/15/2025
b
396,642
BPR
Nimbus,
LLC,
Term
Loan
650,854
2.647%,
(LIBOR
1M
+
2.500%),
8/24/2025
b
525,799
Delos
Finance
SARL,
Term
Loan
175,000
1.970%,
(LIBOR
3M
+
1.750%),
10/6/2023
b
170,712
INEOS
U.S.
Finance,
LLC,
Term
Loan
139,284
2.147%,
(LIBOR
1M
+
2.000%),
3/31/2024
b
135,066
Principal
Amount
Bank
Loans
(15.2%)
a
Value
Financials
(1.4%)
-
continued
Level
3
Financing,
Inc.,
Term
Loan
$
725,000
1.897%,
(LIBOR
1M
+
1.750%),
3/1/2027
b
$
701,662
MoneyGram
International,
Inc.,
Term
Loan
400,234
7.000%,
(LIBOR
3M
+
6.000%),
6/30/2023
b
389,728
NCR
Corporation,
Term
Loan
608,850
2.650%,
(LIBOR
1M
+
2.500%),
8/28/2026
b
592,612
Newco
Financing
Partnership,
Term
Loan
560,000
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
542,640
Northriver
Midstream
Finance,
LP,
Term
Loan
584,041
3.546%,
(LIBOR
3M
+
3.250%),
10/1/2025
b
563,505
Tronox
Finance,
LLC,
Term
Loan
1,235,476
3.177%,
(LIBOR
3M
+
3.000%),
9/22/2024
b
1,214,300
UPC
Financing
Partnership,
Term
Loan
560,000
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
542,640
Vericast
Corporation,
Term
Loan
180,221
5.750%,
(LIBOR
3M
+
4.750%),
11/3/2023
b,d,e
146,859
Total
5,922,165
Technology
(1.4%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
1,068,675
3.761%,
(LIBOR
3M
+
3.500%),
8/21/2026
b,d,e
970,090
Prime
Security
Services
Borrower,
LLC,
Term
Loan
1,653,300
4.250%,
(LIBOR
1M
+
3.250%),
9/23/2026
b
1,636,469
Rackspace
Technology
Global,
Inc.,
Term
Loan
1,485,502
4.000%,
(LIBOR
3M
+
3.000%),
11/3/2023
b
1,455,613
SS&C
Technologies,
Inc.,
Term
Loan
398,640
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
385,354
282,908
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
273,478
Zayo
Group
Holdings,
Inc.,
Term
Loan
1,104,450
3.147%,
(LIBOR
1M
+
3.000%),
3/9/2027
b
1,070,334
Total
5,791,338
Transportation
(0.4%)
Genesee
&
Wyoming,
Inc.,
Term
Loan
691,525
2.220%,
(LIBOR
3M
+
2.000%),
12/30/2026
b
679,534
SkyMiles
IP,
Ltd.,
Term
Loan
420,000
0.000%,
(LIBOR
1M
+
3.750%),
10/20/2027
b,d,e
422,776
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
20
Principal
Amount
Bank
Loans
(15.2%)
a
Value
Transportation
(0.4%)
-
continued
United
Airlines,
Inc.,
Term
Loan
$
515,990
1.895%,
(LIBOR
1M
+
1.750%),
4/1/2024
b
$
485,459
Total
1,587,769
Utilities
(0.4%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
75,835
2.438%,
(LIBOR
1M
+
2.250%),
9/24/2026
b
75,583
Core
and
Main,
LP,
Term
Loan
481,387
3.750%,
(LIBOR
3M
+
2.750%),
8/1/2024
b
470,705
EnergySolutions,
LLC,
Term
Loan
342,125
4.750%,
(LIBOR
3M
+
3.750%),
5/11/2025
b
325,874
Pacific
Gas
&
Electric
Company,
Term
Loan
862,838
5.500%,
(LIBOR
1M
+
4.500%),
1/1/2022
b
844,140
Talen
Energy
Supply,
LLC,
Term
Loan
247,950
3.897%,
(LIBOR
1M
+
3.750%),
7/8/2026
b
244,437
Total
1,960,739
Total
Bank
Loans
(cost
$66,707,831)
64,454,342
Shares
Common
Stock
(
46.3%
)
Value
Communications
Services
(3.2%)
4,278
Activision
Blizzard,
Inc.
346,304
1,431
Alphabet,
Inc.,
Class
A
i
2,097,274
693
Alphabet,
Inc.,
Class
C
i
1,018,433
286
AT&T,
Inc.
8,154
73,969
Auto
Trader
Group
plc
j
537,047
12,774
Carsales.com,
Ltd.
191,361
28
Charter
Communications,
Inc.
i
17,482
22,923
Comcast
Corporation
1,060,418
100
Daiichikosho
Company,
Ltd.
3,212
11,557
Deutsche
Telekom
AG
192,426
13,832
Discovery,
Inc.,
Class
A
i,k
301,123
10,214
DISH
Network
Corporation
i
296,512
4,861
Facebook,
Inc.
i
1,273,096
39,000
HKT
Trust
and
HKT,
Ltd.
51,765
1,288
Ipsos
SA
32,200
3,700
KDDI
Corporation
93,061
5,775
Live
Nation
Entertainment,
Inc.
i
311,157
60
Match
Group,
Inc.
i
6,639
46,867
Mediaset
Espana
Comunicacion
SA
i
173,573
300
Nintendo
Company,
Ltd.
170,007
3,200
Nippon
Telegraph
&
Telephone
Corporation
65,333
5,900
NTT
DOCOMO,
Inc.
216,802
20,718
QuinStreet,
Inc.
i
328,173
649
REA
Group,
Ltd.
51,679
3,458
Rightmove
plc
27,956
19,505
Seven
West
Media,
Ltd.
i
1,568
28,900
SoftBank
Corporation
322,938
3,000
SoftBank
Group
Corporation
185,624
13,400
TV
Asahi
Holdings
Corporation
212,799
14,596
Twitter,
Inc.
i
649,522
11,157
Uber
Technologies,
Inc.
i
407,007
24,138
Verizon
Communications,
Inc.
1,435,970
Shares
Common
Stock
(46.3%)
Value
Communications
Services
(3.2%)
-
continued
3,664
Walt
Disney
Company
$
454,629
2,990
Wolters
Kluwer
NV
255,056
7,754
Zillow
Group,
Inc.
i
787,341
Total
13,583,641
Consumer
Discretionary
(5.5%)
1,500
ABC-MART,
Inc.
78,099
1,611
Amazon.com,
Inc.
i
5,072,604
800
AOKI
Holdings,
Inc.
4,023
10,883
Aptiv
plc
997,753
1,450
ARB
Corporation,
Ltd.
28,970
3,090
Aristocrat
Leisure,
Ltd.
67,388
1,700
Autobacs
Seven
Company,
Ltd.
22,143
401
AutoZone,
Inc.
i
472,234
28,534
B&M
European
Value
Retail
SA
181,911
2,598
Berkeley
Group
Holdings
plc
141,625
270
Booking
Holdings,
Inc.
i
461,884
1,100
Bridgestone
Corporation
34,770
3,221
Bunzl
plc
103,995
1,839
Burlington
Stores,
Inc.
i
378,999
6,415
Callaway
Golf
Company
122,783
6,940
Cedar
Fair,
LP
194,806
352
Chipotle
Mexican
Grill,
Inc.
i
437,786
2,100
Chiyoda
Company,
Ltd.
19,564
197
Churchill
Downs,
Inc.
32,273
208
Cie
Generale
des
Etablissements
Michelin
22,328
21,700
Citizen
Watch
Company,
Ltd.
i
60,875
1,976
Collins
Foods,
Ltd.
14,692
11,035
Cooper-Standard
Holdings,
Inc.
i
145,772
5,900
Crocs,
Inc.
i
252,107
4,671
D.R.
Horton,
Inc.
353,268
553
Darden
Restaurants,
Inc.
55,709
282
Deckers
Outdoor
Corporation
i
62,043
8,300
Denso
Corporation
363,803
3,135
Dick's
Sporting
Goods,
Inc.
181,454
6,964
Dollarama,
Inc.
266,939
4,704
Dometic
Group
AB
i,j
58,078
281
Domino's
Pizza
Enterprises,
Ltd.
16,067
1,101
Domino's
Pizza
Group
plc
5,181
740
Domino's
Pizza,
Inc.
314,707
100
Doutor
Nichires
Holdings
Company,
Ltd.
1,519
654
eBay,
Inc.
34,073
1,009
Emerald
Holding,
Inc.
2,058
870
Europris
ASA
j
4,460
200
Exedy
Corporation
2,605
100
Fast
Retailing
Company,
Ltd.
62,842
898
Five
Below,
Inc.
i
114,046
38,000
Galaxy
Entertainment
Group,
Ltd.
256,907
373
Grand
Canyon
Education,
Inc.
i
29,818
7,921
GVC
Holdings
plc
i
99,205
11,425
Harley-Davidson,
Inc.
280,369
89
Helen
of
Troy,
Ltd.
i
17,223
212
Hermes
International
182,587
5,552
Home
Depot,
Inc.
1,541,846
15,711
Husqvarna
AB
172,761
6,757
Industria
de
Diseno
Textil
SA
186,929
749
InterContinental
Hotels
Group
plc
i
39,316
1,200
Izumi
Company,
Ltd.
43,757
6,278
Leggett
&
Platt,
Inc.
258,465
7,587
Lowe's
Companies,
Inc.
1,258,380
2,188
Lululemon
Athletica,
Inc.
i
720,662
49
LVMH
Moet
Hennessy
Louis
Vuitton
SE
22,927
2,043
McDonald's
Corporation
448,418
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
21
Shares
Common
Stock
(46.3%)
Value
Consumer
Discretionary
(5.5%)
-
continued
18
Mercadolibre,
Inc.
i
$
19,485
2,363
Miller
Industries,
Inc.
72,237
1,294
Mohawk
Industries,
Inc.
i
126,281
28,149
Moneysupermarket.com
Group
plc
97,031
220
Netflix,
Inc.
i
110,007
7,900
NHK
Spring
Company,
Ltd.
50,582
2,100
Nihon
Unisys,
Ltd.
66,255
4,171
NIKE,
Inc.
523,627
6,500
Nissan
Motor
Company,
Ltd.
i
22,988
230
NVR,
Inc.
i
939,118
1,300
Onward
Holdings
Company,
Ltd.
3,368
400
Oriental
Land
Company,
Ltd.
56,098
2,479
Pandox
AB
i
28,420
1,517
Planet
Fitness,
Inc.
i
93,478
1,822
Playa
Hotels
and
Resorts
NV
i
7,634
1,500
PLENUS
Company,
Ltd.
25,899
1,167
Premier
Investments,
Ltd.
17,348
11,116
Redrow
plc
i
57,837
1,899
Restaurant
Brands
International,
Inc.
109,211
2,256
RH
i,k
863,191
2,400
Rinnai
Corporation
234,099
4,000
Sangetsu
Company,
Ltd.
61,666
200
Sankyo
Company,
Ltd.
5,237
81
Scandic
Hotels
Group
AB
j
243
4,900
Sekisui
House,
Ltd.
86,832
600
SHIMAMURA
Company,
Ltd.
58,286
2,366
Sleep
Number
Corporation
i
115,721
2,000
Sony
Corporation
153,284
6,145
Sony
Corporation
ADR
471,629
9,056
Stoneridge,
Inc.
i
166,359
38,300
Sumitomo
Electric
Industries,
Ltd.
431,156
18,100
Sumitomo
Rubber
Industries,
Ltd.
168,133
2,069
Super
Retail
Group,
Ltd.
15,735
600
Takara
Standard
Company,
Ltd.
8,076
374
Tesla,
Inc.
i
160,450
5,686
Texas
Roadhouse,
Inc.
345,652
2,185
Thule
Group
AB
j
72,104
700
Toyoda
Gosei
Company,
Ltd.
16,073
900
Toyota
Motor
Corporation
59,733
113
Wayfair,
Inc.
i
32,884
761
Yum!
Brands,
Inc.
69,479
6,443
Zumiez,
Inc.
i
179,244
Total
23,009,976
Consumer
Staples
(2.1%)
2,300
Arcs
Company,
Ltd.
59,048
1,400
Asahi
Group
Holdings,
Ltd.
48,794
3,379
BJ's
Wholesale
Club
Holdings,
Inc.
i
140,397
1,486
British
American
Tobacco
plc
53,305
4,843
Bunge,
Ltd.
221,325
3,060
Carlsberg
AS
412,250
6,136
Colgate-Palmolive
Company
473,392
959
Costco
Wholesale
Corporation
340,445
26,907
Cott
Corporation
k
382,079
651
Elior
Participations
SCA
j
3,023
3,555
ForFarmers
BV
21,757
799
Glanbia
plc
8,250
16,973
Hain
Celestial
Group,
Inc.
i
582,174
12,700
Japan
Tobacco,
Inc.
231,696
1,800
John
B.
Sanfilippo
&
Son,
Inc.
135,684
800
Kao
Corporation
60,057
2,000
Kewpie
Corporation
41,136
1,955
Kimberly-Clark
Corporation
288,675
5,768
Lamb
Weston
Holdings,
Inc.
382,245
Shares
Common
Stock
(46.3%)
Value
Consumer
Staples
(2.1%)
-
continued
20
Lindt
&
Spruengli
AG
$
168,820
470
L'Oreal
SA
152,953
800
Ministop
Company,
Ltd.
11,245
9,510
Nestle
SA
1,131,805
100
Noevir
Holdings
Company,
Ltd.
4,680
3,356
Orkla
ASA
33,870
3,720
PepsiCo,
Inc.
515,592
1,479
Philip
Morris
International,
Inc.
110,910
2,981
Procter
&
Gamble
Company
414,329
283
Royal
Unibrew
AS
29,169
3,000
Seven
&
I
Holdings
Company,
Ltd.
93,210
2,800
Sugi
Holdings
Company,
Ltd.
197,971
2,800
Sundrug
Company,
Ltd.
105,546
8,478
Turning
Point
Brands,
Inc.
236,536
300
Unicharm
Corporation
13,417
1,723
Unilever
NV
104,634
10,257
Wal-Mart
Stores,
Inc.
1,435,057
Total
8,645,476
Energy
(1.3%)
15,465
BP
plc
ADR
270,019
30,631
CGG
SA
i
20,429
557
Cheniere
Energy,
Inc.
i
25,772
5,997
Chevron
Corporation
431,784
73
Cimarex
Energy
Company
1,776
4,189
ConocoPhillips
137,567
515
Core
Laboratories
NV
7,859
3,774
Diamondback
Energy,
Inc.
113,673
5,662
Enbridge,
Inc.
165,330
34,500
Eneos
Holdings,
Inc.
123,091
22,592
Eni
SPA
176,582
15,481
Enterprise
Products
Partners,
LP
244,445
2,843
EOG
Resources,
Inc.
102,177
7,636
EQT
Corporation
98,734
12,686
Equinor
ASA
179,731
6,420
Exxon
Mobil
Corporation
220,399
384
Gaztransport
Et
Technigaz
SA
36,619
4,114
Gibson
Energy,
Inc.
66,674
8,928
Halliburton
Company
107,582
17,248
Helmerich
&
Payne,
Inc.
252,683
12,356
John
Wood
Group
plc
i
33,924
1,700
Kinder
Morgan,
Inc.
20,961
450
Lundin
Energy
AB
8,924
9,041
Marathon
Oil
Corporation
36,978
8,644
Marathon
Petroleum
Corporation
253,615
1,300
MPLX,
LP
20,462
10,012
Nine
Energy
Service,
Inc.
i
11,314
2,108
OMV
AG
i
57,677
1,651
PDC
Energy,
Inc.
i
20,464
3,975
Pioneer
Natural
Resources
Company
341,810
18,158
Royal
Dutch
Shell
plc,
Class
A
226,674
29,400
Royal
Dutch
Shell
plc,
Class
B
356,537
2,163
SBM
Offshore
NV
34,504
3,257
Schlumberger,
Ltd.
50,679
7,646
SEACOR
Holdings,
Inc.
i
222,346
2,274
Subsea
7
SA
i
16,344
3,259
TC
Energy
Corporation
136,817
7,759
Tenaris
SA
ADR
76,426
10,896
Total
SE
374,199
31,973
Tullow
Oil
plc
i
6,256
4,783
Valero
Energy
Corporation
207,200
1,003
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
17,037
1,100
Williams
Companies,
Inc.
21,615
294
Woodside
Petroleum,
Ltd.
3,731
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
22
Shares
Common
Stock
(46.3%)
Value
Energy
(1.3%)
-
continued
65,868
WPX
Energy,
Inc.
i
$
322,753
Total
5,662,173
Financials
(6.3%)
12,794
AB
Industrivarden
i
340,240
8,538
Aflac,
Inc.
310,356
7,400
AIA
Group,
Ltd.
73,557
8,547
Air
Lease
Corporation
251,453
4,406
Allianz
SE
845,648
18,270
Ally
Financial,
Inc.
458,029
3,354
American
Express
Company
336,238
1,260
American
Financial
Group,
Inc.
84,395
6,396
American
International
Group,
Inc.
176,082
870
Aon
plc
179,481
22
Ares
Capital
Corporation
307
2,439
Arthur
J.
Gallagher
&
Company
257,510
4,723
Associated
Banc-Corp
59,604
26,915
Assured
Guaranty,
Ltd.
578,134
820
ASX,
Ltd.
47,942
2,785
Baloise
Holding
AG
410,020
29,323
Bank
of
America
Corporation
706,391
308
Bank
of
Marin
Bancorp
8,920
6,287
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
140,074
1,453
Berkshire
Hathaway,
Inc.
i
309,402
3,097
Berkshire
Hills
Bancorp,
Inc.
31,311
909
BlackRock,
Inc.
512,267
1,091
Blackstone
Mortgage
Trust,
Inc.
23,969
800
Boston
Private
Financial
Holdings,
Inc.
4,416
15,940
Bridgewater
Bancshares,
Inc.
i
151,271
8,043
Capital
One
Financial
Corporation
577,970
7,555
Charles
Schwab
Corporation
273,718
3,947
Chubb,
Ltd.
458,326
29,632
CI
Financial
Corporation
375,866
16,251
Citigroup,
Inc.
700,581
1,358
Cohen
&
Steers,
Inc.
75,695
8,782
Columbia
Banking
System,
Inc.
209,451
3,054
Comerica,
Inc.
116,815
1,614
Commonwealth
Bank
of
Australia
74,270
1,246
Community
Trust
Bancorp,
Inc.
35,212
1,782
Credit
Agricole
SA
i
15,548
25,900
DBS
Group
Holdings,
Ltd.
380,765
1,754
Deutsche
Boerse
AG
307,514
6,631
Deutsche
Pfandbriefbank
AG
i,j
43,963
5,040
Discover
Financial
Services
291,211
25,881
DnB
ASA
i
360,538
2,033
Ellington
Residential
Mortgage
REIT
22,566
5,347
Euronext
NV
j
669,802
3,316
Evercore,
Inc.
217,065
21,599
Everi
Holdings,
Inc.
i
178,192
613
FactSet
Research
Systems,
Inc.
205,281
313
FBL
Financial
Group,
Inc.
15,087
370
Financial
Institutions,
Inc.
5,698
4,413
First
BanCorp
23,036
2,271
First
Busey
Corporation
36,086
2,733
First
Financial
Bancorp
32,810
8,995
First
Interstate
BancSystem,
Inc.
286,491
413
First
Merchants
Corporation
9,565
239
First
Mid-Illinois
Bancshares,
Inc.
5,963
26,095
FlexiGroup,
Ltd.
20,338
2,900
FS
KKR
Capital
Corporation
45,994
3,100
FS
KKR
Capital
Corporation
II
45,601
6,871
Fulton
Financial
Corporation
64,106
2,933
Glacier
Bancorp,
Inc.
94,003
821
Goldman
Sachs
Group,
Inc.
164,996
Shares
Common
Stock
(46.3%)
Value
Financials
(6.3%)
-
continued
3,800
Golub
Capital
BDC,
Inc.
$
50,312
1,426
Great
Southern
Bancorp,
Inc.
51,650
749
Great
Western
Bancorp,
Inc.
9,325
277
Groupe
Bruxelles
Lambert
SA
24,972
4,049
Hancock
Whitney
Corporation
76,162
1,452
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Inc.
61,376
8,014
Hartford
Financial
Services
Group,
Inc.
295,396
10,093
Heartland
Financial
USA,
Inc.
302,740
20,235
Heritage
Commerce
Corporation
134,664
958
Hometrust
Bancshares,
Inc.
13,010
3,191
Hope
Bancorp,
Inc.
24,204
1,376
Houlihan
Lokey,
Inc.
81,253
14,702
HSBC
Holdings
plc
57,518
239
IGM
Financial,
Inc.
5,480
433
Independent
Bank
Corporation
5,443
5,459
Interactive
Brokers
Group,
Inc.
263,833
101,543
Israel
Discount
Bank,
Ltd.
273,932
12,392
J.P.
Morgan
Chase
&
Company
1,192,978
7,900
Japan
Post
Bank
Company,
Ltd.
61,618
1,200
Japan
Post
Holdings
Company,
Ltd.
8,183
3,970
Julius
Baer
Group,
Ltd.
168,615
6,462
Kemper
Corporation
431,855
30,491
KeyCorp
363,758
822
L
E
Lundbergforetagen
AB
i
40,614
646
Lakeland
Bancorp,
Inc.
6,428
5,209
Laurentian
Bank
of
Canada
k
106,993
474
Markel
Corporation
i
461,534
82
MarketAxess
Holdings,
Inc.
39,490
900
Marsh
&
McLennan
Companies,
Inc.
103,230
2,192
Mediobanca
SPA
17,176
8,188
Meridian
Bancorp,
Inc.
84,746
7,420
MetLife,
Inc.
275,801
3,048
MidWestOne
Financial
Group,
Inc.
54,468
14,500
Mitsubishi
UFJ
Financial
Group,
Inc.
57,868
2,460
Mizrahi
Tefahot
Bank,
Ltd.
43,635
285
Moody's
Corporation
82,607
11,861
Morgan
Stanley
573,479
900
MS
and
AD
Insurance
Group
Holdings,
Inc.
24,249
4,165
National
Bank
of
Canada
206,881
462
OFG
Bancorp
5,756
1,008
Onex
Corporation
44,967
10,000
ORIX
Corporation
124,903
896
PacWest
Bancorp
15,304
2,245
Paragon
Banking
Group
plc
9,625
1,803
Pargesa
Holding
SA
149,055
266
Peapack-Gladstone
Financial
Corporation
4,030
3,252
Popular,
Inc.
117,950
2,721
Primerica,
Inc.
307,854
214
QCR
Holdings,
Inc.
5,866
16,295
Radian
Group,
Inc.
238,070
270
Raiffeisen
Bank
International
AG
i
4,133
4,804
Raymond
James
Financial,
Inc.
349,539
100
Ricoh
Leasing
Company,
Ltd.
2,706
7,287
Royal
Bank
of
Canada
511,630
1,689
S&P
Global,
Inc.
609,053
7,925
Santander
Consumer
USA
Holdings,
Inc.
144,156
9,753
Seacoast
Banking
Corporation
of
Florida
i
175,847
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
23
Shares
Common
Stock
(46.3%)
Value
Financials
(6.3%)
-
continued
1,752
Selective
Insurance
Group,
Inc.
$
90,210
2,600
Senshu
Ikeda
Holdings,
Inc.
4,341
735
Simmons
First
National
Corporation
11,653
5,500
Singapore
Exchange,
Ltd.
37,096
2,700
Sixth
Street
Specialty
Lending,
Inc.
46,467
1,507
St.
James's
Place
plc
18,130
1,635
State
Auto
Financial
Corporation
22,498
5,600
Sumitomo
Mitsui
Financial
Group,
Inc.
156,580
13,193
Sun
Life
Financial,
Inc.
537,608
1,154
Swiss
Life
Holding
AG
436,664
12,537
Synovus
Financial
Corporation
265,408
2,092
T.
Rowe
Price
Group,
Inc.
268,236
515
TMX
Group,
Ltd.
52,964
2,500
Tokio
Marine
Holdings,
Inc.
109,386
717
Topdanmark
AS
34,706
14,252
Toronto-Dominion
Bank
659,859
9,290
Triumph
Bancorp,
Inc.
i
289,291
9,580
Truist
Financial
Corporation
364,519
286
Washington
Federal,
Inc.
5,966
218
Washington
Trust
Bancorp,
Inc.
6,684
25,045
Wells
Fargo
&
Company
588,808
15,086
Western
Alliance
Bancorp
477,019
19,066
Zions
Bancorporations
NA
557,108
Total
26,736,261
Health
Care
(7.0%)
5,050
Abbott
Laboratories
549,591
1,358
AbbVie,
Inc.
118,947
2,959
Alexion
Pharmaceuticals,
Inc.
i
338,598
1,976
Align
Technology,
Inc.
i
646,863
3,229
Amgen,
Inc.
820,683
4,735
AMN
Healthcare
Services,
Inc.
i
276,808
1,852
Anthem,
Inc.
497,429
4,700
Astellas
Pharmaceutical,
Inc.
70,061
2,059
Baxter
International,
Inc.
165,585
1,526
Becton,
Dickinson
and
Company
355,070
1,307
Biogen,
Inc.
i
370,770
2,481
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
i
161,290
3,589
Catalent,
Inc.
i
307,434
8,291
Centene
Corporation
i
483,614
3,073
Cerner
Corporation
222,147
73
Chemed
Corporation
35,066
5,000
Chugai
Pharmaceutical
Company,
Ltd.
224,377
3,013
Cigna
Holding
Company
510,432
3,199
CSL,
Ltd.
660,807
5,350
CVS
Health
Corporation
312,440
5,600
Daiichi
Sankyo
Company,
Ltd.
171,907
4,829
Danaher
Corporation
1,039,829
8,311
Edwards
Lifesciences
Corporation
i
663,384
1,942
Eli
Lilly
and
Company
287,455
3,313
Gilead
Sciences,
Inc.
209,348
49,987
GlaxoSmithKline
plc
937,136
7,712
GlaxoSmithKline
plc
ADR
290,280
171
Grifols
SA
4,917
7,884
Halozyme
Therapeutics,
Inc.
i
207,192
2,888
HCA
Healthcare,
Inc.
360,076
602
Humana,
Inc.
249,162
23
IDEXX
Laboratories,
Inc.
i
9,042
76
Illumina,
Inc.
i
23,490
536
Incyte
Corporation
i
48,101
1,064
Intuitive
Surgical,
Inc.
i
754,951
2,217
IQVIA
Holding,
Inc.
i
349,466
Shares
Common
Stock
(46.3%)
Value
Health
Care
(7.0%)
-
continued
3,968
Jazz
Pharmaceuticals,
Inc.
i
$
565,797
13,560
Johnson
&
Johnson
2,018,813
1,000
KYORIN
Holdings,
Inc.
20,271
326
Laboratory
Corporation
of
America
Holdings
i
61,376
2,069
LHC
Group,
Inc.
i
439,787
65
Lifco
AB
5,028
381
LNA
Sante
21,155
1,700
M3,
Inc.
105,156
154
Masimo
Corporation
i
36,353
900
Medipal
Holdings
Corporation
18,047
13,656
Medtronic
plc
1,419,132
14,991
Merck
&
Company,
Inc.
1,243,503
311
Mettler-Toledo
International,
Inc.
i
300,348
16,436
Novartis
AG
1,427,045
12,710
Novo
Nordisk
AS
880,607
2,431
Novo
Nordisk
AS
ADR
168,784
900
Olympus
Corporation
18,716
9,810
Optinose,
Inc.
i
38,259
804
PerkinElmer,
Inc.
100,910
337
Pfizer,
Inc.
12,368
464
Quest
Diagnostics,
Inc.
53,123
1,322
Quidel
Corporation
i
290,020
6,353
Recordati
SPA
325,434
4,485
Roche
Holding
AG
1,536,294
2,121
Sanofi
212,551
1,200
Sawai
Pharmaceutical
Company,
Ltd.
60,547
1,276
Sonova
Holding
AG
i
323,358
210
STERIS
plc
37,000
3,140
Stryker
Corporation
654,282
5,985
Syneos
Health,
Inc.
i
318,163
100
Sysmex
Corporation
9,568
5,735
Tactile
Systems
Technology,
Inc.
i
209,844
5,200
Takeda
Pharmaceutical
Company,
Ltd.
185,863
295
Tecan
Group
AG
146,708
658
Teladoc
Health,
Inc.
i,k
144,260
1,100
Terumo
Corporation
43,796
2,483
Thermo
Fisher
Scientific,
Inc.
1,096,294
100
Toho
Holdings
Company,
Ltd.
2,156
500
Tsumura
&
Company
15,582
2,806
UnitedHealth
Group,
Inc.
874,827
2,744
Universal
Health
Services,
Inc.
293,663
901
Veeva
Systems,
Inc.
i
253,352
1,260
Vertex
Pharmaceuticals,
Inc.
i
342,871
1,292
Zimmer
Biomet
Holdings,
Inc.
175,893
2,952
Zoetis,
Inc.
488,172
Total
29,728,824
Industrials
(6.6%)
603
3M
Company
96,589
7
A.P.
Moller
-
Maersk
AS,
Class
A
10,247
83
A.P.
Moller
-
Maersk
AS,
Class
B
131,213
5,054
Aalberts
NV
181,741
294
Aerojet
Rocketdyne
Holdings,
Inc.
i
11,728
2,737
AGCO
Corporation
203,277
204
Akzo
Nobel
NV
20,618
1,854
Allegion
plc
183,379
18,214
Altra
Industrial
Motion
Corporation
673,372
6,107
AMETEK,
Inc.
607,036
25,220
Arconic,
Inc.
421,678
3,594
ASGN,
Inc.
i
228,435
12,716
Assa
Abloy
AB
297,302
11,768
Atlas
Copco
AB,
Class
A
561,084
3,578
Atlas
Copco
AB,
Class
B
149,324
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
24
Shares
Common
Stock
(46.3%)
Value
Industrials
(6.6%)
-
continued
1,941
Boeing
Company
$
320,770
2,182
Canadian
National
Railway
Company
232,383
2,130
Carlisle
Companies,
Inc.
260,648
15,364
Carrier
Global
Corporation
469,217
2,441
CIA
De
Distribucion
Integral
41,667
716
Cintas
Corporation
238,306
393
CSW
Industrials,
Inc.
30,359
3,577
CSX
Corporation
277,826
4,747
Curtiss-Wright
Corporation
442,705
200
Daikin
Industries,
Ltd.
36,955
10,176
Delta
Air
Lines,
Inc.
311,182
1,354
Deutsche
Post
AG
61,439
1,335
Eaton
Corporation
plc
136,210
6,538
Emerson
Electric
Company
428,697
1,978
Encore
Wire
Corporation
91,819
615
Expeditors
International
of
Washington,
Inc.
55,670
7,542
Experian
plc
283,387
2,173
Fortive
Corporation
165,604
3,440
Forward
Air
Corporation
197,387
603
Geberit
AG
356,750
5,895
General
Dynamics
Corporation
816,045
289
Gorman-Rupp
Company
8,514
2,923
Greenbrier
Companies,
Inc.
85,936
1,200
GS
Yuasa
Corporation
20,737
30,312
GWA
Group,
Ltd.
60,649
1,900
Hanwa
Company,
Ltd.
38,033
3,354
Heico
Corporation
351,030
5,179
Helios
Technologies,
Inc.
188,516
4,916
Honeywell
International,
Inc.
809,223
1,803
IDEX
Corporation
328,885
1,569
Illinois
Tool
Works,
Inc.
303,146
6,900
Inaba
Denki
Sangyo
Company,
Ltd.
173,312
498
JB
Hunt
Transport
Services,
Inc.
62,937
1,212
Jet2
plc
10,493
14,772
Johnson
Controls
International
plc
603,436
4,200
Kamigumi
Company,
Ltd.
82,763
2,081
Kansas
City
Southern
376,307
7,400
Kinden
Corporation
130,693
6,985
Koninklijke
Philips
NV
i
329,828
75
Kuehne
&
Nagel
International
AG
14,563
541
L3Harris
Technologies,
Inc.
91,883
1,725
Landstar
System,
Inc.
216,470
9,629
Legrand
SA
769,724
899
Lennox
International,
Inc.
245,076
3,035
Lincoln
Electric
Holdings,
Inc.
279,341
1,746
Linde
Public
Limited
Company
415,775
1,518
Lockheed
Martin
Corporation
581,819
5,085
Manpower,
Inc.
372,883
27,400
Marubeni
Corporation
155,561
15,674
Meritor,
Inc.
i
328,214
2,421
Middleby
Corporation
i,k
217,188
16,800
Mitsubishi
Corporation
402,114
12,500
Mitsubishi
Electric
Corporation
169,615
2,700
Mitsuboshi
Belting,
Ltd.
43,937
24,400
Mitsui
&
Company,
Ltd.
419,261
3,015
NAPCO
Security
Technologies,
Inc.
i
70,852
6,429
National
Express
Group
plc
i
12,636
100
Nikkon
Holdings
Company,
Ltd.
2,168
300
Nishimatsu
Construction
Company,
Ltd.
5,959
10,200
Nitto
Kogyo
Corporation
202,687
4,798
Nobina
AB
i,j
31,541
Shares
Common
Stock
(46.3%)
Value
Industrials
(6.6%)
-
continued
523
Nordson
Corporation
$
100,322
974
Norfolk
Southern
Corporation
208,426
9,025
Nutrien,
Ltd.
354,051
2,590
Old
Dominion
Freight
Line,
Inc.
468,583
3,477
Otis
Worldwide
Corporation
217,034
14,713
PageGroup
plc
i
70,927
3,248
Parker-Hannifin
Corporation
657,200
3,807
Patrick
Industries,
Inc.
218,979
11,949
Raven
Industries,
Inc.
257,142
6,964
Raytheon
Technologies
Corporation
400,709
2,000
Recruit
Holdings
Company,
Ltd.
79,431
3,906
Redde
Northgate
plc
9,298
29,981
RELX
plc
667,322
3,226
Ritchie
Brothers
Auctioneers,
Inc.
191,140
2,478
Rockwell
Automation,
Inc.
546,845
1,801
Saia,
Inc.
i
227,178
1,561
Sandvik
AB
i
30,526
200
Sanwa
Holdings
Corporation
2,121
6,770
Schneider
Electric
SE
841,509
7,773
SEEK,
Ltd.
119,910
4,784
Signify
NV
i,j
176,947
3,438
SKF
AB
70,928
90,800
Sojitz
Corporation
k
206,063
15,645
Southwest
Airlines
Company
586,687
1,598
Spirax-Sarco
Engineering
plc
227,559
505
Spirit
Aerosystems
Holdings,
Inc.
9,550
1,034
Stanley
Black
&
Decker,
Inc.
167,715
115
Stantec,
Inc.
3,492
20,400
Sumitomo
Corporation
245,912
700
Taikisha,
Ltd.
19,416
300
Taisei
Corporation
10,154
246
Teledyne
Technologies,
Inc.
i
76,312
1,605
TFI
International,
Inc.
67,115
7,718
Timken
Company
418,470
2,600
Toppan
Forms
Company,
Ltd.
24,751
2,814
Transcontinental,
Inc.
k
34,743
7,622
Transurban
Group
77,827
2,500
Tsubakimoto
Chain
Company
58,813
1,880
Tutor
Perini
Corporation
i
20,924
2,170
Union
Pacific
Corporation
427,208
72
United
Parcel
Service,
Inc.
11,997
5,074
United
Rentals,
Inc.
i
885,413
1,067
Valmont
Industries,
Inc.
132,500
1,566
Verisk
Analytics,
Inc.
290,195
1,600
Yuasa
Trading
Company,
Ltd.
50,001
Total
28,015,099
Information
Technology
(9.4%)
3,105
Accenture
plc
701,699
2,094
Adobe,
Inc.
i
1,026,960
2,258
Advanced
Energy
Industries,
Inc.
i
142,119
18,343
Advanced
Micro
Devices,
Inc.
i
1,503,943
800
Advantest
Corporation
38,912
9,125
Agilysys,
Inc.
i
220,460
5,502
Akamai
Technologies,
Inc.
i
608,191
5,754
Alliance
Data
Systems
Corporation
241,553
4,749
Amphenol
Corporation
514,174
439
Analog
Devices,
Inc.
51,249
2,275
ANSYS,
Inc.
i
744,448
46,871
Apple,
Inc.
5,428,130
235
ASM
International
NV
33,686
1,955
ASML
Holding
NV
722,129
594
Automatic
Data
Processing,
Inc.
82,857
100
Azbil
Corporation
3,747
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
25
Shares
Common
Stock
(46.3%)
Value
Information
Technology
(9.4%)
-
continued
1,556
BE
Semiconductor
Industries
NV
$
66,709
2,447
Blackline,
Inc.
i
219,325
1,284
Broadcom,
Ltd.
467,787
1,113
Broadridge
Financial
Solutions,
Inc.
146,916
287
Cadence
Design
Systems,
Inc.
i
30,603
3,800
Canon,
Inc.
63,029
547
Capgemini
SA
70,178
1,825
CDW
Corporation
218,142
9,550
CGI,
Inc.
i
648,214
16,743
Change
Healthcare,
Inc.
i
242,941
10,709
Ciena
Corporation
i
425,040
33,763
Cisco
Systems,
Inc.
1,329,925
500
Computer
Engineering
&
Consulting,
Ltd.
7,758
4,788
Computer
Services,
Inc.
296,856
14,638
Computershare,
Ltd.
129,498
818
Dialog
Semiconductor
plc
i
35,653
4,413
Dolby
Laboratories,
Inc.
292,494
15,451
Dropbox,
Inc.
i
297,586
600
DTS
Corporation
12,769
334
Fair
Isaac
Corporation
i
142,077
3,500
Fuji
Soft,
Inc.
180,480
570
Gartner,
Inc.
i
71,221
24,309
Halma
plc
734,424
1,800
Hitachi,
Ltd.
60,947
1,500
Hoya
Corporation
169,374
2,325
II-VI,
Inc.
i
94,302
997
Intel
Corporation
51,625
207
International
Business
Machines
Corporation
25,186
1,232
Intuit,
Inc.
401,891
600
ITOCHU
Techno-Solutions
Corporation
22,761
372
Jack
Henry
&
Associates,
Inc.
60,483
500
Japan
Material
Company,
Ltd.
7,010
100
Kanematsu
Electronics,
Ltd.
4,062
700
Keyence
Corporation
327,235
727
Lam
Research
Corporation
241,182
600
Lasertec
Corporation
49,319
6,016
Lattice
Semiconductor
Corporation
i
174,223
1,084
Littelfuse,
Inc.
192,237
971
Lumentum
Holdings,
Inc.
i
72,951
5,492
MasterCard,
Inc.
1,857,230
2,023
Microchip
Technology,
Inc.
207,883
7,603
Micron
Technology,
Inc.
i
357,037
26,190
Microsoft
Corporation
5,508,543
423
Motorola
Solutions,
Inc.
66,331
500
Murata
Manufacturing
Company,
Ltd.
32,514
7,624
National
Instruments
Corporation
272,177
11,100
NEC
Networks
&
System
Integration
Corporation
213,369
1,600
Nice,
Ltd.
ADR
i,k
363,248
500
NS
Solutions
Corporation
15,406
900
NSD
Company,
Ltd.
17,677
300
NTT
Data
Corporation
3,839
34,677
Nuance
Communications,
Inc.
i
1,150,930
1,968
NVIDIA
Corporation
1,065,121
100
OBIC
Company,
Ltd.
17,586
1,605
ON
Semiconductor
Corporation
i
34,812
12,368
Oracle
Corporation
738,370
600
Oracle
Corporation
Japan
64,786
500
Otsuka
Corporation
25,551
1,353
Paychex,
Inc.
107,929
Shares
Common
Stock
(46.3%)
Value
Information
Technology
(9.4%)
-
continued
3,661
PayPal
Holdings,
Inc.
i
$
721,327
2,750
Plexus
Corporation
i
194,232
4,619
QUALCOMM,
Inc.
543,564
1,600
Ryoyo
Electro
Corporation
k
44,445
1,556
Sage
Group
plc
14,460
906
Salesforce.com,
Inc.
i
227,696
406
Samsung
Electronics
Company,
Ltd.
GDR
514,777
519
SAP
SE
80,818
1,328
ServiceNow,
Inc.
i
644,080
91
Skyworks
Solutions,
Inc.
13,240
2,934
Square,
Inc.
i
476,922
1,812
Synopsys,
Inc.
i
387,732
615
Technology
One,
Ltd.
3,523
183
Teradyne,
Inc.
14,541
9,528
Texas
Instruments,
Inc.
1,360,503
1,800
TIS,
Inc.
38,232
800
Tokyo
Electron,
Ltd.
209,004
683
VeriSign,
Inc.
i
139,913
7,688
Visa,
Inc.
1,537,369
1,307
VMware,
Inc.
i,k
187,777
3,421
Workiva,
Inc.
i
190,755
105
Worldline
SA
i,j
8,598
Total
39,822,517
Materials
(2.2%)
3,051
Air
Liquide
SA
483,616
285
Air
Products
and
Chemicals,
Inc.
84,890
8,300
Air
Water,
Inc.
112,255
11,531
Axalta
Coating
Systems,
Ltd.
i
255,642
6,288
Ball
Corporation
522,658
6,331
BHP
Group,
Ltd.
163,553
1,095
Buzzi
Unicem
SPA
25,441
3,597
Centamin
plc
9,391
11,162
CF
Industries
Holdings,
Inc.
342,785
87
Christian
Hansen
Holding
AS
9,657
2,908
Croda
International
plc
234,577
6,333
Eastman
Chemical
Company
494,734
3,249
Ecolab,
Inc.
649,280
20,425
Element
Solutions,
Inc.
i
214,667
118
EMS-CHEMIE
Holding
AG
106,019
280
Eramet
SA
i
7,067
48
Givaudan
SA
207,255
9,221
Granges
AB
i
82,303
14,275
Hexpol
AB
i
127,692
11,212
Hochschild
Mining
plc
i
31,616
1,308
Holmen
AB
48,533
202
IAMGOLD
Corporation
i
774
407
IMCD
NV
48,407
45,112
Ivanhoe
Mines,
Ltd.
i
163,976
5,194
Koninklijke
DSM
NV
855,102
7,500
Kyoei
Steel,
Ltd.
96,402
1,000
Lintec
Corporation
23,285
12,641
Louisiana-Pacific
Corporation
373,036
439
Martin
Marietta
Materials,
Inc.
103,323
100
Nippon
Steel
Trading
Corporation
2,857
612
Novozymes
AS
38,466
5,969
Nucor
Corporation
267,769
5,081
Ramelius
Resources,
Ltd.
7,674
2,279
Rio
Tinto
plc
137,134
2,510
Rio
Tinto,
Ltd.
171,437
18,868
Sandfire
Resources,
Ltd.
55,760
486
Sherwin-Williams
Company
338,616
300
Shin-Etsu
Chemical
Company,
Ltd.
39,256
1,520
Sika
AG
373,239
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
26
Shares
Common
Stock
(46.3%)
Value
Materials
(2.2%)
-
continued
6,518
Silver
Lake
Resources,
Ltd.
i
$
10,941
10,377
Steel
Dynamics,
Inc.
297,093
20,800
Sumitomo
Chemical
Company,
Ltd.
68,847
2,478
Symrise
AG
342,270
1,300
Taiyo
Holdings
Company,
Ltd.
68,074
5,500
Toagosei
Company,
Ltd.
58,944
38,200
Toray
Industries,
Inc.
174,765
3,700
Ube
Industries,
Ltd.
62,483
3,614
UFP
Technologies,
Inc.
i
149,692
2,690
United
States
Lime
&
Minerals,
Inc.
242,369
4,391
W.
R.
Grace
&
Company
176,913
348
Wacker
Chemie
AG
33,772
3,066
Yara
International
ASA
117,979
Total
9,114,286
Real
Estate
(2.0%)
1,753
Agree
Realty
Corporation
111,561
1,754
Alexandria
Real
Estate
Equities,
Inc.
280,640
4,760
Allied
Properties
REIT
128,156
6,534
Alstria
Office
REIT
AG
90,857
14,953
American
Campus
Communities,
Inc.
522,159
1,437
American
Tower
Corporation
347,366
91,904
Ascendas
REIT
219,920
1,523
AvalonBay
Communities,
Inc.
227,445
4,008
Camden
Property
Trust
356,632
5,595
Castellum
AB
127,086
3,948
CBRE
Group,
Inc.
i
185,438
5,436
Choice
Properties
REIT
52,174
189
Cofinimmo
SA
28,420
3,495
Colliers
International
Group,
Inc.
233,082
418
Community
Healthcare
Trust,
Inc.
19,546
2,400
Daito
Trust
Construction
Company,
Ltd.
212,748
1,970
Digital
Realty
Trust,
Inc.
289,117
9,101
Douglas
Emmett,
Inc.
228,435
8,906
Duke
Realty
Corporation
328,631
629
EastGroup
Properties,
Inc.
81,349
1,997
Entra
ASA
j,k
28,064
6,189
Essential
Properties
Realty
Trust,
Inc.
113,382
444
Essex
Property
Trust,
Inc.
89,151
4,870
First
Industrial
Realty
Trust,
Inc.
193,826
5,388
Four
Corners
Property
Trust,
Inc.
137,879
2
Frontier
Real
Estate
Investment
Corporation
6,813
3
Fukuoka
REIT
Corporation
3,896
786
Getty
Realty
Corporation
20,444
7,059
Granite
REIT
409,688
2
Hankyu
REIT,
Inc.
2,329
3,323
Healthcare
Realty
Trust,
Inc.
100,089
37,038
Host
Hotels
&
Resorts,
Inc.
399,640
8,000
Hysan
Development
Company,
Ltd.
24,059
497
Industrial
Logistics
Properties
Trust
10,869
43
Invesco
Office
J-Reit,
Inc.
5,957
1,110
iSTAR
Financial,
Inc.
13,109
20
Japan
Hotel
REIT
Investment
Corporation
9,882
4
Japan
Prime
Realty
Investment
Corporation
12,411
1,250
Kilroy
Realty
Corporation
64,950
1,372
Kungsleden
AB
12,988
241
LEG
Immobilien
AG
34,352
Shares
Common
Stock
(46.3%)
Value
Real
Estate
(2.0%)
-
continued
3,517
Lexington
Realty
Trust
$
36,753
25,800
Mapletree
Commercial
Trust
37,064
14
Mori
Trust
Sogo
REIT,
Inc.
17,708
7,802
National
Storage
Affiliates
Trust
255,203
13
Nomura
Real
Estate
Master
Fund,
Inc.
16,286
690
Plymouth
Industrial
REIT,
Inc.
8,515
4,125
PSP
Swiss
Property
AG
498,303
10,169
Quebecor,
Inc.
254,387
4,021
Rayonier,
Inc.
REIT
106,315
3,263
Realty
Income
Corporation
198,227
19,000
Road
King
Infrastructure,
Ltd.
22,705
2,077
Service
Properties
Trust
16,512
1,151
Spirit
Realty
Capital,
Inc.
38,846
27,093
Sunstone
Hotel
Investors,
Inc.
215,118
15,470
TAG
Immobilien
AG
466,483
1,715
Terreno
Realty
Corporation
93,913
187
UDR,
Inc.
6,098
15
United
Urban
Investment
Corporation
16,691
3,090
Waypoint
REIT,
Ltd.
6,039
41,100
Wing
Tai
Holdings,
Ltd.
52,527
1,504
WP
Carey,
Inc.
98,001
Total
8,226,234
Utilities
(0.7%)
5,272
Alliant
Energy
Corporation
272,299
14,573
CenterPoint
Energy,
Inc.
281,988
4,415
CMS
Energy
Corporation
271,125
4,680
Duke
Energy
Corporation
414,461
9,335
Enagas
SA
215,389
4,052
Enel
SPA
35,155
6,699
Entergy
Corporation
660,052
5,796
Exelon
Corporation
207,265
6,018
FirstEnergy
Corporation
172,777
604
NextEra
Energy,
Inc.
167,646
640
Northland
Power,
Inc.
19,360
1,970
NorthWestern
Corporation
95,821
3,265
PNM
Resources,
Inc.
134,942
2,579
Portland
General
Electric
Company
91,554
1,578
Spire,
Inc.
83,950
262
Unitil
Corporation
10,124
Total
3,133,908
Total
Common
Stock
(cost
$166,321,204)
195,678,395
Principal
Amount
Long-Term
Fixed
Income
(
25.2%
)
Value
Asset-Backed
Securities
(2.0%)
522
Funding
CLO,
Ltd.
$
225,000
4.098%,
(LIBOR
3M
+
3.850%),
10/23/2033,
Ser.
2020-6A,
Class
D
b,e,j
225,000
Babson
CLO,
Ltd.
300,000
3.172%,
(LIBOR
3M
+
2.900%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,j
267,924
Benefit
Street
Partners
CLO
IV,
Ltd.
300,000
2.022%,
(LIBOR
3M
+
1.750%),
1/20/2029,
Ser.
2014-IVA,
Class
A2RR
b,j
298,603
Business
Jet
Securities,
LLC
330,221
4.447%,
6/15/2033,
Ser.
2018-2,
Class
A
j
330,161
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
27
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Asset-Backed
Securities
(2.0%)
-
continued
Cent
CLO,
LP
$
850,000
2.545%,
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,j
$
831,031
College
Ave
Student
Loans,
LLC
191,222
1.798%,
(LIBOR
1M
+
1.650%),
11/26/2046,
Ser.
2017-A,
Class
A1
b,j
191,808
Foundation
Finance
Trust
124,751
3.300%,
7/15/2033,
Ser.
2017-1A,
Class
A
j
126,852
Harley
Marine
Financing,
LLC
439,124
5.682%,
5/15/2043,
Ser.
2018-1A,
Class
A2
j
393,659
Madison
Park
Funding
XIV,
Ltd.
500,000
1.658%,
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,j
489,500
OHA
Credit
Funding
1,
Ltd.
390,000
1.722%,
(LIBOR
3M
+
1.450%),
10/20/2030,
Ser.
2018-1A,
Class
A2
b,j
386,077
OZLM
Funding
II,
Ltd.
785,000
1.768%,
(LIBOR
3M
+
1.500%),
7/30/2031,
Ser.
2012-2A,
Class
A1BR
b,j
771,997
OZLM
IX,
Ltd.
425,000
1.822%,
(LIBOR
3M
+
1.550%),
10/20/2031,
Ser.
2014-9A,
Class
A1BR
b,j
421,303
Palmer
Square
Loan
Funding,
Ltd.
300,000
2.522%,
(LIBOR
3M
+
2.250%),
4/20/2027,
Ser.
2019-1A,
Class
B
b,j
300,013
Park
Avenue
Institutional
Advisers
CLO,
Ltd.
800,000
1.772%,
(LIBOR
3M
+
1.500%),
10/20/2031,
Ser.
2018-1A,
Class
A1B
b,j
792,455
Pretium
Mortgage
Credit
Partners,
LLC
454,128
3.721%,
1/25/2059,
Ser.
2019-CFL1,
Class
A1
j,l
453,218
Riserva
CLO,
Ltd.
350,000
1.972%,
(LIBOR
3M
+
1.700%),
10/18/2028,
Ser.
2016-3A,
Class
BR
b,j
346,978
Sound
Point
CLO
X,
Ltd.
400,000
2.972%,
(LIBOR
3M
+
2.700%),
1/20/2028,
Ser.
2015-3A,
Class
DR
b,j
382,519
Sound
Point
CLO
XXI,
Ltd.
800,000
1.695%,
(LIBOR
3M
+
1.450%),
10/26/2031,
Ser.
2018-3A,
Class
A1B
b,j
769,409
THL
Credit
Wind
River
CLO,
Ltd.
350,000
3.125%,
(LIBOR
3M
+
2.850%),
7/15/2028,
Ser.
2016-1A,
Class
DR
b,j
329,730
Vericrest
Opportunity
Loan
Transferee
353,740
3.352%,
9/25/2049,
Ser.
2019-NPL5,
Class
A1A
j,l
354,142
Total
8,462,379
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Basic
Materials
(0.4%)
Air
Products
and
Chemicals,
Inc.
$
17,000
1.500%,
10/15/2025
$
17,631
Alcoa
Nederland
Holding
BV
95,000
5.500%,
12/15/2027
j
99,009
BWAY
Holding
Company
90,000
5.500%,
4/15/2024
j
90,319
Cleveland-Cliffs,
Inc.
60,000
5.750%,
3/1/2025
55,800
50,000
9.875%,
10/17/2025
j
55,812
EI
du
Pont
de
Nemours
&
Company
34,000
1.700%,
7/15/2025
35,257
First
Quantum
Minerals,
Ltd.
110,000
7.500%,
4/1/2025
j
108,802
Freeport-McMoRan,
Inc.
90,000
4.125%,
3/1/2028
91,125
90,000
4.250%,
3/1/2030
92,250
Kinross
Gold
Corporation
44,000
5.125%,
9/1/2021
45,274
Krayton
Polymers,
LLC
120,000
7.000%,
4/15/2025
j
122,400
Methanex
Corporation
130,000
5.250%,
12/15/2029
128,538
Mosaic
Company
15,000
3.250%,
11/15/2022
15,675
Norbord,
Inc.
130,000
5.750%,
7/15/2027
j
137,319
Novelis
Corporation
150,000
5.875%,
9/30/2026
j
154,125
40,000
4.750%,
1/30/2030
j
39,039
Nucor
Corporation
17,000
2.000%,
6/1/2025
17,752
Olin
Corporation
150,000
5.125%,
9/15/2027
148,500
Peabody
Securities
Finance
Corporation
110,000
6.375%,
3/31/2025
j
44,000
Steel
Dynamics,
Inc.
21,000
2.400%,
6/15/2025
21,906
Syngenta
Finance
NV
71,000
3.933%,
4/23/2021
j
71,916
Tronox
Finance
plc
130,000
5.750%,
10/1/2025
j
128,050
Xstrata
Finance
Canada,
Ltd.
66,000
4.950%,
11/15/2021
j
68,897
Total
1,789,396
Capital
Goods
(0.9%)
AECOM
200,000
5.125%,
3/15/2027
216,024
Amsted
Industries,
Inc.
150,000
5.625%,
7/1/2027
j
159,573
Ardagh
Packaging
Finance
plc
61,000
6.000%,
2/15/2025
j
63,336
100,000
5.250%,
8/15/2027
j
101,900
Berry
Global,
Inc.
80,000
4.875%,
7/15/2026
j
83,900
Caterpillar
Financial
Services
Corporation
53,000
1.900%,
9/6/2022
54,494
48,000
1.950%,
11/18/2022
49,573
35,000
1.450%,
5/15/2025
36,148
Chart
Industries,
Inc.,
Convertible
117,000
1.000%,
11/15/2024
j
162,159
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
28
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Capital
Goods
(0.9%)
-
continued
Cintas
Corporation
No.
2
$
64,000
2.900%,
4/1/2022
$
66,200
CNH
Industrial
Capital,
LLC
64,000
4.875%,
4/1/2021
65,235
20,000
1.950%,
7/2/2023
20,325
Covanta
Holding
Corporation
120,000
6.000%,
1/1/2027
124,800
25,000
5.000%,
9/1/2030
25,233
Crown
Americas
Capital
Corporation
IV
130,000
4.500%,
1/15/2023
134,875
Crown
Cork
&
Seal
Company,
Inc.
50,000
7.375%,
12/15/2026
59,444
General
Electric
Company
260,000
5.000%,
1/21/2021
b,m
207,158
Greenbrier
Companies,
Inc.,
Convertible
47,000
2.875%,
2/1/2024
42,993
H&E
Equipment
Services,
Inc.
135,000
5.625%,
9/1/2025
140,738
Honeywell
International,
Inc.
35,000
1.350%,
6/1/2025
36,068
Huntington
Ingalls
Industries,
Inc.
31,000
3.844%,
5/1/2025
j
34,056
Jeld-Wen,
Inc.
80,000
4.625%,
12/15/2025
j
80,400
John
Deere
Capital
Corporation
47,000
1.200%,
4/6/2023
47,919
48,000
2.050%,
1/9/2025
50,861
KBR,
Inc.,
Convertible
246,000
2.500%,
11/1/2023
277,365
Otis
Worldwide
Corporation
47,000
2.056%,
4/5/2025
49,367
PACCAR
Financial
Corporation
33,000
2.650%,
4/6/2023
34,785
Parker-Hannifin
Corporation
70,000
2.700%,
6/14/2024
74,931
Patrick
Industries,
Inc.,
Convertible
78,000
1.000%,
2/1/2023
76,730
Raytheon
Technologies
Corporation
41,000
2.800%,
3/15/2022
j
42,270
Republic
Services,
Inc.
34,000
2.500%,
8/15/2024
36,184
Reynolds
Group
Issuer,
Inc.
240,000
5.125%,
7/15/2023
j
243,000
Roper
Technologies,
Inc.
33,000
2.350%,
9/15/2024
34,897
35,000
1.000%,
9/15/2025
35,088
Standard
Industries,
Inc.
160,000
4.375%,
7/15/2030
j
164,042
TransDigm,
Inc.
50,000
6.250%,
3/15/2026
j
52,428
180,000
5.500%,
11/15/2027
172,989
TTM
Technologies,
Inc.,
Convertible
70,000
1.750%,
12/15/2020
82,729
United
Rentals
North
America,
Inc.
250,000
4.000%,
7/15/2030
255,625
United
Technologies
Corporation
78,000
3.950%,
8/16/2025
88,672
WESCO
Distribution,
Inc.
80,000
7.250%,
6/15/2028
j
87,654
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Capital
Goods
(0.9%)
-
continued
WW
Grainger,
Inc.
$
30,000
1.850%,
2/15/2025
$
31,417
Total
3,903,585
Collateralized
Mortgage
Obligations
(4.2%)
Antler
Mortgage
Trust
379,833
4.458%,
6/27/2022,
Ser.
2019-RTL1,
Class
A1
j
380,864
710,096
4.335%,
7/25/2022,
Ser.
2018-RTL1,
Class
A1
j
711,598
Banc
of
America
Alternative
Loan
Trust
218,801
6.000%,
11/25/2035,
Ser.
2005-10,
Class
3CB1
209,044
Banc
of
America
Mortgage
Securities
Trust
188,167
3.373%,
9/25/2035,
Ser.
2005-H,
Class
3A1
b
176,154
54,169
3.613%,
9/25/2035,
Ser.
2005-H,
Class
2A1
b
50,588
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
77,119
3.564%,
1/25/2034,
Ser.
2003-8,
Class
5A
b
74,197
Bellemeade
Re,
Ltd.
298,692
1.748%,
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,j
295,753
150,000
2.798%,
(LIBOR
1M
+
2.650%),
6/25/2030,
Ser.
2020-1A,
Class
M1A
b,j
150,308
200,000
3.548%,
(LIBOR
1M
+
3.400%),
6/25/2030,
Ser.
2020-1A,
Class
M1B
b,j
202,726
200,000
2.448%,
(LIBOR
1M
+
2.300%),
8/26/2030,
Ser.
2020-2A,
Class
M1A
b,j
200,233
CHL
Mortgage
Pass-Through
Trust
242,401
3.400%,
11/20/2035,
Ser.
2005-HYB7,
Class
6A1
b
205,715
113,961
3.454%,
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
112,832
404,290
6.000%,
11/25/2037,
Ser.
2007-18,
Class
1A2
323,200
CIM
Trust
258,618
5.000%,
12/25/2057,
Ser.
2018-R3,
Class
A1
b,j
272,597
Citigroup
Mortgage
Loan
Trust,
Inc.
309,143
3.958%,
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
299,417
Countrywide
Alternative
Loan
Trust
271,426
6.500%,
8/25/2036,
Ser.
2006-23CB,
Class
2A3
151,887
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
142,567
3.457%,
11/25/2035,
Ser.
2005-22,
Class
2A1
b
132,047
Credit
Suisse
First
Boston
Mortgage
Securities
Corporation
102,451
5.250%,
10/25/2035,
Ser.
2005-9,
Class
1A3
102,578
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
29
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Collateralized
Mortgage
Obligations
(4.2%)
-
continued
Credit
Suisse
Mortgage
Capital
Certificates
$
95,939
3.393%,
2/25/2024,
Ser.
2020-BPL1,
Class
A1
j,l
$
95,980
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
204,013
5.250%,
6/25/2035,
Ser.
2005-3,
Class
4A6
209,405
145,428
2.404%,
8/25/2035,
Ser.
2005-AR1,
Class
2A3
b
138,009
Eagle
Re,
Ltd.
300,782
1.948%,
(LIBOR
1M
+
1.800%),
4/25/2029,
Ser.
2019-1,
Class
M1B
b,j
298,800
Federal
Home
Loan
Mortgage
Corporation
799,766
3.500%,
8/15/2035,
Ser.
345,
Class
C8
n
86,418
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
719,019
3.000%,
5/15/2027,
Ser.
4046,
Class
GI
n
40,800
715,340
3.500%,
10/15/2032,
Ser.
4119,
Class
KI
n
87,077
844,979
3.000%,
4/15/2033,
Ser.
4203,
Class
DI
n
63,206
Federal
National
Mortgage
Association
-
REMIC
901,360
3.000%,
7/25/2027,
Ser.
2012-73,
Class
DI
n
50,339
739,197
3.000%,
7/25/2027,
Ser.
2012-74,
Class
AI
n
37,126
1,478,661
3.000%,
8/25/2027,
Ser.
2012-95,
Class
HI
n
73,174
1,720,714
3.000%,
11/25/2027,
Ser.
2012-121,
Class
BI
n
109,154
1,065,825
3.000%,
12/25/2027,
Ser.
2012-139,
Class
DI
n
57,303
519,696
2.500%,
1/25/2028,
Ser.
2012-152,
Class
AI
n
28,178
1,399,771
3.000%,
1/25/2028,
Ser.
2012-147,
Class
EI
n
77,036
600,943
3.000%,
2/25/2028,
Ser.
2013-2,
Class
GI
n
37,275
2,119,086
3.000%,
3/25/2028,
Ser.
2013-18,
Class
IL
n
117,906
554,451
2.500%,
6/25/2028,
Ser.
2013-87,
Class
IW
n
31,837
849,433
3.000%,
11/25/2031,
Ser.
2013-69,
Class
IO
n
41,795
563,338
3.000%,
2/25/2033,
Ser.
2013-1,
Class
YI
n
61,065
Genworth
Mortgage
Insurance
Corporation
175,000
2.048%,
(LIBOR
1M
+
1.900%),
11/26/2029,
Ser.
2019-1,
Class
M1
b,j
171,394
GMAC
Mortgage
Corporation
Loan
Trust
99,265
3.668%,
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
94,864
33,178
0.648%,
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,o
36,975
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Collateralized
Mortgage
Obligations
(4.2%)
-
continued
GMACM
Mortgage
Loan
Trust
$
53,328
3.991%,
11/19/2035,
Ser.
2005-AR6,
Class
1A1
b
$
50,387
GSAA
Home
Equity
Trust
76,740
4.539%,
8/25/2034,
Ser.
2004-10,
Class
M2
l
82,066
IndyMac
INDA
Mortgage
Loan
Trust
741,167
3.127%,
8/25/2036,
Ser.
2006-AR1,
Class
A1
b
690,988
IndyMac
INDX
Mortgage
Loan
Trust
480,523
0.358%,
(LIBOR
1M
+
0.210%),
4/25/2046,
Ser.
2006-AR2,
Class
1A1B
b
435,219
IndyMac
Seconds
Asset-Backed
Trust
152,326
0.488%,
(LIBOR
1M
+
0.340%),
10/25/2036,
Ser.
2006-2B,
Class
A
b,o
105,109
J.P.
Morgan
Alternative
Loan
Trust
366,483
6.500%,
3/25/2036,
Ser.
2006-S1,
Class
1A19
297,497
Legacy
Mortgage
Asset
Trust
356,038
4.000%,
1/25/2059,
Ser.
2019-GS1,
Class
A1
j
362,208
290,457
3.250%,
2/25/2060,
Ser.
2020-GS4,
Class
A1
j,l
294,627
Master
Asset
Securitization
Trust
454,687
0.648%,
(LIBOR
1M
+
0.500%),
6/25/2036,
Ser.
2006-2,
Class
2A2
b
113,444
Merrill
Lynch
Mortgage
Investors
Trust
275,497
3.536%,
6/25/2035,
Ser.
2005-A5,
Class
M1
b
149,966
MFA
NQM1
Trust
145,309
2.300%,
8/25/2049,
Ser.
2020-NQM1,
Class
A3
b,j
146,031
New
Residential
Mortgage
Loan
Trust
96,954
4.335%,
7/25/2060,
Ser.
2020-NPL1,
Class
A1
j,l
97,070
Preston
Ridge
Partners
Mortgage
Trust,
LLC
116,092
4.500%,
1/25/2024,
Ser.
2019-1A,
Class
A1
j,l
116,981
385,110
3.967%,
4/25/2024,
Ser.
2019-2A,
Class
A1
j,l
388,322
368,167
3.500%,
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,j
368,645
216,569
4.750%,
10/25/2024,
Ser.
2019-GS1,
Class
A2
b,j
215,706
Pretium
Mortgage
Credit
Partners,
LLC
393,077
2.858%,
5/27/2059,
Ser.
2020-NPL1,
Class
A1
j,l
390,064
Radnor
RE,
Ltd.
525,000
2.848%,
(LIBOR
1M
+
2.700%),
3/25/2028,
Ser.
2018-1,
Class
M2
b,j
500,110
RCO
Mortgage,
LLC
193,584
3.475%,
11/25/2024,
Ser.
2019-2,
Class
A1
j,l
193,137
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
30
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Collateralized
Mortgage
Obligations
(4.2%)
-
continued
$
397,821
3.197%,
11/25/2052,
Ser.
2017-INV1,
Class
A
b,j
$
403,269
Residential
Accredit
Loans,
Inc.
Trust
161,274
6.000%,
8/25/2035,
Ser.
2005-QS10,
Class
2A
161,423
159,179
5.750%,
9/25/2035,
Ser.
2005-QS13,
Class
2A3
159,060
131,720
6.000%,
1/25/2037,
Ser.
2007-QS1,
Class
1A1
127,992
Residential
Asset
Securitization
Trust
162,685
2.756%,
1/25/2034,
Ser.
2004-IP1,
Class
A1
b
161,401
285,039
5.500%,
4/25/2035,
Ser.
2005-A1,
Class
A3
297,988
Residential
Funding
Mortgage
Security
I
Trust
250,254
6.000%,
7/25/2037,
Ser.
2007-S7,
Class
A20
234,421
Silver
Hill
Trust
220,378
3.102%,
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,j
223,970
Stanwich
Mortgage
Loan
Trust
146,220
3.475%,
11/16/2024,
Ser.
2019-NPB2,
Class
A1
j,l
145,063
Starwood
Mortgage
Residential
Trust
276,173
4.121%,
10/25/2048,
Ser.
2018-IMC2,
Class
A1
b,j
285,660
250,000
3.970%,
4/25/2060,
Ser.
2020-2,
Class
A2
b,j
258,703
Structured
Adjustable
Rate
Mortgage
Loan
Trust
89,125
3.201%,
7/25/2035,
Ser.
2005-15,
Class
4A1
b
80,206
170,560
3.678%,
9/25/2035,
Ser.
2005-18,
Class
1A1
b
137,198
Structured
Asset
Mortgage
Investments,
Inc.
339,159
0.458%,
(LIBOR
1M
+
0.310%),
12/25/2035,
Ser.
2005-AR4,
Class
A1
b
315,024
Toorak
Mortgage
Corporation
456,657
4.336%,
8/25/2021,
Ser.
2018-1,
Class
A1
j,l
459,221
500,000
4.458%,
3/25/2022,
Ser.
2019-1,
Class
A1
j,l
511,579
300,000
2.734%,
3/25/2023,
Ser.
2020-1,
Class
A1
j,l
301,055
Vericrest
Opportunity
Loan
Transferee
185,115
2.981%,
3/25/2050,
Ser.
2020-NPL4,
Class
A1
j,l
184,725
250,000
3.475%,
3/25/2050,
Ser.
2020-NPL5,
Class
A1B
j,l
243,365
138,681
3.352%,
8/25/2049,
Ser.
2019-NPL4,
Class
A1A
j,l
138,819
900,000
4.090%,
11/25/2049,
Ser.
2019-NPL8,
Class
A1B
j,l
886,994
78,061
3.426%,
12/27/2049,
Ser.
2019-NP10,
Class
A1A
j,l
78,090
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Collateralized
Mortgage
Obligations
(4.2%)
-
continued
Verus
Securitization
Trust
$
271,149
3.345%,
5/25/2059,
Ser.
2019-2,
Class
A2
b,j
$
276,417
Wachovia
Asset
Securitization,
Inc.
223,942
0.312%,
(LIBOR
1M
+
0.140%),
7/25/2037,
Ser.
2007-HE1,
Class
A
b,j,o
194,151
WaMu
Mortgage
Pass
Through
Certificates
261,505
2.051%,
(12
MTA
+
0.880%),
10/25/2046,
Ser.
2006-AR13,
Class
1A
b
234,899
Wells
Fargo
Home
Equity
Trust
194,767
0.648%,
(LIBOR
1M
+
0.500%),
4/25/2034,
Ser.
2004-1,
Class
M1
b
188,532
Total
17,783,656
Commercial
Mortgage-Backed
Securities
(0.2%)
BFLD
Trust
225,000
1.800%,
(LIBOR
1M
+
1.700%),
10/15/2022,
Ser.
2020-EYP,
Class
B
b,e,j
225,000
Federal
National
Mortgage
Association
-
ACES
4,973,092
1.466%,
2/25/2031,
Ser.
2019-M21,
Class
X2
b,n
528,306
Total
753,306
Communications
Services
(1.6%)
Altice
France
SA
70,000
5.500%,
1/15/2028
j
70,875
American
Tower
Corporation
50,000
3.375%,
5/15/2024
54,129
41,000
2.950%,
1/15/2025
44,284
AT&T,
Inc.
140,000
4.450%,
4/1/2024
156,540
CCO
Holdings,
LLC
125,000
5.500%,
5/1/2026
j
130,312
110,000
5.125%,
5/1/2027
j
115,744
60,000
4.500%,
8/15/2030
j
63,003
70,000
4.250%,
2/1/2031
j
72,513
CCOH
Safari,
LLC
235,000
5.750%,
2/15/2026
j
244,400
Charter
Communications
Operating,
LLC
50,000
4.500%,
2/1/2024
55,433
37,000
4.908%,
7/23/2025
42,767
Comcast
Corporation
39,000
3.700%,
4/15/2024
43,065
39,000
3.950%,
10/15/2025
44,724
Cox
Communications,
Inc.
51,000
2.950%,
6/30/2023
j
53,680
Crown
Castle
International
Corporation
32,000
4.450%,
2/15/2026
36,654
CSC
Holdings,
LLC
50,000
5.500%,
5/15/2026
j
52,000
70,000
4.125%,
12/1/2030
j
71,348
300,000
4.625%,
12/1/2030
j
301,419
Deutsche
Telekom
International
Finance
BV
34,000
2.485%,
9/19/2023
j
35,549
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
31
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Communications
Services
(1.6%)
-
continued
Discovery
Communications,
LLC
$
45,000
2.950%,
3/20/2023
$
47,403
DISH
Network
Corporation,
Convertible
277,000
3.375%,
8/15/2026
254,285
Embarq
Corporation
110,000
7.995%,
6/1/2036
130,247
Entercom
Media
Corporation
60,000
6.500%,
5/1/2027
j
52,200
Fox
Corporation
76,000
4.030%,
1/25/2024
83,659
Front
Range
BidCo,
Inc.
160,000
4.000%,
3/1/2027
j
157,476
GCI
Liberty,
Inc.,
Convertible
509,000
1.750%,
9/30/2046
j
872,172
GCI,
LLC
70,000
4.750%,
10/15/2028
e,j
70,876
Gray
Escrow,
Inc.
110,000
7.000%,
5/15/2027
j,k
119,255
iHeartCommunications,
Inc.
80,000
4.750%,
1/15/2028
j
75,396
Level
3
Financing,
Inc.
100,000
5.250%,
3/15/2026
103,595
90,000
4.625%,
9/15/2027
j
92,475
120,000
4.250%,
7/1/2028
j
121,838
Liberty
Interactive,
LLC,
Convertible
118,000
3.500%,
1/15/2031
98,078
Liberty
Media
Corporation,
Convertible
47,000
1.000%,
1/30/2023
55,756
Netflix,
Inc.
220,000
4.875%,
4/15/2028
245,850
Nexstar
Escrow
Corporation
100,000
5.625%,
7/15/2027
j
104,895
Nielsen
Finance,
LLC
30,000
5.625%,
10/1/2028
j
30,825
SBA
Communications
Corporation
80,000
3.875%,
2/15/2027
j
81,200
SFR
Group
SA
150,000
7.375%,
5/1/2026
j
157,185
Sirius
XM
Radio,
Inc.
220,000
5.000%,
8/1/2027
j
229,805
60,000
4.125%,
7/1/2030
j
61,487
Sprint
Capital
Corporation
90,000
6.875%,
11/15/2028
112,080
50,000
8.750%,
3/15/2032
73,191
Sprint
Corporation
150,000
7.250%,
9/15/2021
156,938
230,000
7.625%,
2/15/2025
269,100
Telesat
Canada
/
Telesat,
LLC
80,000
4.875%,
6/1/2027
j
80,324
T-Mobile
USA,
Inc.
52,000
3.500%,
4/15/2025
j
57,055
230,000
4.500%,
2/1/2026
236,992
Univision
Communications,
Inc.
120,000
6.625%,
6/1/2027
j
117,150
VeriSign,
Inc.
130,000
4.750%,
7/15/2027
137,800
Verizon
Communications,
Inc.
102,000
2.946%,
3/15/2022
105,742
81,000
1.380%,
(LIBOR
3M
+
1.100%),
5/15/2025
b
82,746
Viacom,
Inc.
65,000
4.250%,
9/1/2023
70,805
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Communications
Services
(1.6%)
-
continued
$
44,000
5.875%,
2/28/2057
b
$
44,774
Virgin
Media
Secured
Finance
plc
200,000
5.500%,
8/15/2026
j
208,500
Vodafone
Group
plc
52,000
3.750%,
1/16/2024
56,790
VTR
Finance
BV
50,000
6.375%,
N/A
j
52,500
Walt
Disney
Company
36,000
1.750%,
1/13/2026
37,400
Windstream
Services,
LLC
100,000
8.625%,
10/31/2025
*,f
60,000
Ziggo
BV
110,000
5.500%,
1/15/2027
j
115,225
Total
7,009,509
Consumer
Cyclical
(1.6%)
1011778
B.C.,
ULC
240,000
4.375%,
1/15/2028
j
244,752
Allied
Universal
Holdco,
LLC
70,000
6.625%,
7/15/2026
j
74,550
Allison
Transmission,
Inc.
165,000
5.000%,
10/1/2024
j
166,660
Amazon.com,
Inc.
34,000
0.800%,
6/3/2025
34,303
American
Honda
Finance
Corporation
52,000
2.050%,
1/10/2023
53,749
35,000
0.650%,
9/8/2023
34,988
35,000
1.200%,
7/8/2025
35,255
BMW
Finance
NV
34,000
2.250%,
8/12/2022
j
35,097
Booking
Holdings,
Inc.,
Convertible
40,000
0.900%,
9/15/2021
42,564
Brookfield
Property
REIT,
Inc.
40,000
5.750%,
5/15/2026
j
31,523
Brookfield
Residential
Properties,
Inc.
240,000
6.250%,
9/15/2027
j
242,022
Burlington
Stores,
Inc.,
Convertible
289,000
2.250%,
4/15/2025
j
344,351
Carnival
Corporation
50,000
11.500%,
4/1/2023
j
56,049
50,000
10.500%,
2/1/2026
j
55,375
Cedar
Fair,
LP
90,000
5.250%,
7/15/2029
85,444
Colt
Merger
Sub,
Inc.
150,000
6.250%,
7/1/2025
j
156,375
D.R.
Horton,
Inc.
60,000
2.550%,
12/1/2020
60,203
16,000
2.600%,
10/15/2025
17,155
Daimler
Finance
North
America,
LLC
32,000
2.550%,
8/15/2022
j
33,054
Dana,
Inc.
100,000
5.625%,
6/15/2028
103,250
Dick's
Sporting
Goods,
Inc.,
Convertible
205,000
3.250%,
4/15/2025
j
375,363
Ford
Motor
Company
40,000
9.000%,
4/22/2025
45,860
20,000
9.625%,
4/22/2030
25,825
100,000
7.450%,
7/16/2031
114,681
Ford
Motor
Credit
Company,
LLC
240,000
4.063%,
11/1/2024
239,700
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
32
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Consumer
Cyclical
(1.6%)
-
continued
$
130,000
4.134%,
8/4/2025
$
128,754
General
Motors
Company
46,000
5.400%,
10/2/2023
50,706
General
Motors
Financial
Company,
Inc.
64,000
4.375%,
9/25/2021
66,026
36,000
4.200%,
11/6/2021
37,171
43,000
3.150%,
6/30/2022
44,169
68,000
3.950%,
4/13/2024
71,937
48,000
2.900%,
2/26/2025
49,452
35,000
2.750%,
6/20/2025
35,851
84,000
5.700%,
9/30/2030
b,m
84,315
Hanesbrands,
Inc.
170,000
4.875%,
5/15/2026
j
181,475
Harley-Davidson
Financial
Services,
Inc.
52,000
4.050%,
2/4/2022
j
53,737
Herc
Holdings,
Inc.
60,000
5.500%,
7/15/2027
j
62,079
Hilton
Domestic
Operating
Company,
Inc.
220,000
4.875%,
1/15/2030
226,600
Home
Depot,
Inc.
31,000
3.750%,
2/15/2024
34,197
Hyundai
Capital
America
52,000
3.000%,
6/20/2022
j
53,610
35,000
1.800%,
10/15/2025
j
34,807
International
Game
Technology
plc
110,000
5.250%,
1/15/2029
j
111,237
KB
Home
80,000
4.800%,
11/15/2029
88,200
Kohl's
Corporation
45,000
9.500%,
5/15/2025
53,092
L
Brands,
Inc.
70,000
6.625%,
10/1/2030
j
71,225
Landry's,
Inc.
80,000
6.750%,
10/15/2024
j
66,800
Lennar
Corporation
65,000
2.950%,
11/29/2020
65,000
20,000
4.125%,
1/15/2022
20,450
48,000
4.875%,
12/15/2023
51,606
265,000
4.500%,
4/30/2024
284,212
14,000
5.875%,
11/15/2024
15,645
Lowe's
Companies,
Inc.
31,000
4.000%,
4/15/2025
35,133
Marriott
International,
Inc.
69,000
3.750%,
10/1/2025
70,853
Marriott
Vacations
Worldwide
Corporation,
Convertible
45,000
1.500%,
9/15/2022
44,233
Mattamy
Group
Corporation
200,000
5.250%,
12/15/2027
j
205,500
McDonald's
Corporation
70,000
3.350%,
4/1/2023
74,732
MGM
Resorts
International
60,000
6.000%,
3/15/2023
62,244
122,000
5.750%,
6/15/2025
127,954
Nissan
Motor
Company,
Ltd.
35,000
3.043%,
9/15/2023
j
35,477
Norwegian
Cruise
Line
Holdings,
Ltd.
50,000
10.250%,
2/1/2026
j
52,094
Penn
National
Gaming,
Inc.,
Convertible
36,000
2.750%,
5/15/2026
115,540
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Consumer
Cyclical
(1.6%)
-
continued
Prime
Security
Services
Borrower,
LLC
$
205,000
5.750%,
4/15/2026
j
$
219,223
35,000
3.375%,
8/31/2027
j
33,644
Ralph
Lauren
Corporation
34,000
1.700%,
6/15/2022
34,610
Royal
Caribbean
Cruises,
Ltd.
50,000
9.125%,
6/15/2023
j
53,000
40,000
11.500%,
6/1/2025
j
46,490
Scientific
Games
International,
Inc.
110,000
5.000%,
10/15/2025
j
110,688
ServiceMaster
Company,
LLC
180,000
5.125%,
11/15/2024
j
184,050
Six
Flags
Entertainment
Corporation
70,000
5.500%,
4/15/2027
j,k
66,381
Six
Flags
Theme
Parks,
Inc.
50,000
7.000%,
7/1/2025
j
53,188
Staples,
Inc.
130,000
7.500%,
4/15/2026
j
119,790
Target
Corporation
31,000
2.250%,
4/15/2025
33,096
TJX
Companies,
Inc.
31,000
3.500%,
4/15/2025
34,572
Under
Armour,
Inc.,
Convertible
40,000
1.500%,
6/1/2024
j
49,986
VF
Corporation
35,000
2.050%,
4/23/2022
35,880
Volkswagen
Group
of
America
Finance,
LLC
62,000
4.250%,
11/13/2023
j
68,119
17,000
3.350%,
5/13/2025
j
18,559
Wyndham
Destinations,
Inc.
60,000
6.625%,
7/31/2026
j
62,857
Wyndham
Hotels
&
Resorts,
Inc.
35,000
4.375%,
8/15/2028
j
33,950
Yum!
Brands,
Inc.
160,000
4.750%,
1/15/2030
j
172,400
Total
7,004,744
Consumer
Non-Cyclical
(1.7%)
Abbott
Laboratories
64,000
2.550%,
3/15/2022
66,074
46,000
3.400%,
11/30/2023
49,977
AbbVie,
Inc.
44,000
2.900%,
11/6/2022
46,134
68,000
2.300%,
11/21/2022
j
70,366
35,000
2.800%,
3/15/2023
j
36,585
141,000
3.600%,
5/14/2025
156,249
Albertson's
Companies,
Inc.
140,000
3.500%,
3/15/2029
j
135,887
50,000
4.875%,
2/15/2030
j
52,125
Altria
Group,
Inc.
47,000
3.800%,
2/14/2024
51,365
35,000
4.400%,
2/14/2026
40,295
Amgen,
Inc.
47,000
1.900%,
2/21/2025
49,144
Anheuser-Busch
Companies,
LLC
35,000
3.650%,
2/1/2026
39,116
Anheuser-Busch
InBev
Worldwide,
Inc.
56,000
4.150%,
1/23/2025
63,225
Anthem,
Inc.
50,000
2.375%,
1/15/2025
53,115
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
33
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Consumer
Non-Cyclical
(1.7%)
-
continued
Aramark
Services,
Inc.
$
50,000
6.375%,
5/1/2025
j
$
52,084
AstraZeneca
plc
36,000
0.700%,
4/8/2026
35,300
BAT
Capital
Corporation
44,000
2.764%,
8/15/2022
45,597
56,000
3.222%,
8/15/2024
59,922
BAT
International
Finance
plc
35,000
1.668%,
3/25/2026
35,110
Bausch
Health
Companies,
Inc.
60,000
7.000%,
1/15/2028
j
63,450
30,000
5.000%,
1/30/2028
j
29,137
Bayer
U.S.
Finance
II,
LLC
70,000
3.500%,
6/25/2021
j
71,404
Boston
Scientific
Corporation
70,000
3.450%,
3/1/2024
75,827
Bristol-Myers
Squibb
Company
56,000
3.625%,
5/15/2024
61,703
Bunge,
Ltd.
Finance
Corporation
65,000
3.500%,
11/24/2020
65,285
41,000
1.630%,
8/17/2025
41,170
Cargill,
Inc.
35,000
1.375%,
7/23/2023
j
35,799
Centene
Corporation
60,000
4.750%,
1/15/2025
61,668
48,000
5.375%,
8/15/2026
j
50,840
40,000
4.250%,
12/15/2027
41,857
90,000
4.625%,
12/15/2029
97,079
160,000
3.000%,
10/15/2030
e
163,000
Cigna
Corporation
75,000
4.125%,
11/15/2025
85,997
Conagra
Brands,
Inc.
37,000
3.800%,
10/22/2021
38,259
37,000
4.300%,
5/1/2024
41,276
Constellation
Brands,
Inc.
70,000
4.250%,
5/1/2023
76,342
CVS
Health
Corporation
44,000
2.750%,
12/1/2022
45,882
56,000
3.700%,
3/9/2023
59,985
70,000
4.100%,
3/25/2025
79,089
DaVita,
Inc.
110,000
4.625%,
6/1/2030
j
112,904
Diageo
Capital
plc
42,000
1.375%,
9/29/2025
43,034
Edgewell
Personal
Care
Company
50,000
5.500%,
6/1/2028
j
52,612
Encompass
Health
Corporation
130,000
4.500%,
2/1/2028
130,650
Energizer
Holdings,
Inc.
160,000
6.375%,
7/15/2026
j
172,032
110,000
4.375%,
3/31/2029
j
111,100
General
Mills,
Inc.
35,000
3.700%,
10/17/2023
38,156
35,000
3.650%,
2/15/2024
38,154
HCA,
Inc.
320,000
5.375%,
2/1/2025
350,400
HLF
Financing
SARL,
LLC
70,000
7.250%,
8/15/2026
j
71,925
Illumina,
Inc.,
Convertible
24,000
0.500%,
6/15/2021
30,793
Imperial
Brands
Finance
plc
34,000
3.125%,
7/26/2024
j
35,948
Ionis
Pharmaceuticals,
Inc.,
Convertible
63,000
0.125%,
12/15/2024
j
58,014
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Consumer
Non-Cyclical
(1.7%)
-
continued
JBS
Investments
II
GmbH
$
70,000
5.750%,
1/15/2028
j
$
72,800
JBS
USA,
LLC
120,000
5.750%,
6/15/2025
j
123,696
110,000
5.500%,
1/15/2030
j
119,900
Kellogg
Company
78,000
3.125%,
5/17/2022
81,171
Kraft
Foods
Group,
Inc.
120,000
5.000%,
6/4/2042
131,252
Kraft
Heinz
Foods
Company
120,000
4.625%,
1/30/2029
133,525
180,000
3.750%,
4/1/2030
j
190,013
50,000
4.250%,
3/1/2031
j
54,820
Kroger
Company
43,000
2.800%,
8/1/2022
44,674
Medtronic,
Inc.
15,000
3.500%,
3/15/2025
16,896
Molina
Healthcare,
Inc.
90,000
4.375%,
6/15/2028
j
91,845
Mondelez
International
Holdings
Netherlands
BV
65,000
2.000%,
10/28/2021
j
66,019
Mondelez
International,
Inc.
16,000
2.125%,
4/13/2023
16,606
Mylan
NV
41,000
3.150%,
6/15/2021
41,660
Mylan,
Inc.
34,000
4.200%,
11/29/2023
37,269
Novartis
Capital
Corporation
30,000
1.750%,
2/14/2025
31,406
Par
Pharmaceutical,
Inc.
110,000
7.500%,
4/1/2027
j
115,245
PepsiCo,
Inc.
46,000
2.250%,
3/19/2025
49,249
Pernod
Ricard
SA
35,000
5.750%,
4/7/2021
j
35,948
Philip
Morris
International,
Inc.
55,000
1.500%,
5/1/2025
56,751
Post
Holdings,
Inc.
70,000
5.750%,
3/1/2027
j
73,588
QBE
Insurance
Group,
Ltd.
84,000
5.875%,
5/12/2025
b,j,m
89,145
Reynolds
American,
Inc.
35,000
4.850%,
9/15/2023
39,048
Royalty
Pharma
plc
34,000
1.200%,
9/2/2025
j
33,892
Scotts
Miracle-Gro
Company
130,000
4.500%,
10/15/2029
137,719
Shire
Acquisitions
Investments
Ireland
Designated
Activity
Company
23,000
2.400%,
9/23/2021
23,415
Simmons
Foods,
Inc.
80,000
5.750%,
11/1/2024
j
80,083
Spectrum
Brands,
Inc.
70,000
5.750%,
7/15/2025
72,170
50,000
5.000%,
10/1/2029
j
51,875
40,000
5.500%,
7/15/2030
j
42,200
Sysco
Corporation
65,000
5.650%,
4/1/2025
76,855
Teleflex,
Inc.
120,000
4.625%,
11/15/2027
126,300
Tenet
Healthcare
Corporation
60,000
4.625%,
7/15/2024
60,150
170,000
5.125%,
11/1/2027
j
174,862
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
34
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Consumer
Non-Cyclical
(1.7%)
-
continued
Teva
Pharmaceutical
Finance
Netherlands
III
BV
$
17,000
2.200%,
7/21/2021
$
16,856
125,000
2.800%,
7/21/2023
119,531
Thermo
Fisher
Scientific,
Inc.
31,000
4.133%,
3/25/2025
35,319
TreeHouse
Foods,
Inc.
50,000
4.000%,
9/1/2028
50,569
UnitedHealth
Group,
Inc.
65,000
3.350%,
7/15/2022
68,490
Upjohn,
Inc.
35,000
1.650%,
6/22/2025
j
35,820
VRX
Escrow
Corporation
420,000
6.125%,
4/15/2025
j
429,975
Zoetis,
Inc.
52,000
3.250%,
2/1/2023
54,863
Total
7,071,911
Energy
(1.4%)
Antero
Resources
Corporation
75,000
5.000%,
3/1/2025
46,875
Apache
Corporation
65,000
4.875%,
11/15/2027
61,425
70,000
4.375%,
10/15/2028
64,050
60,000
5.100%,
9/1/2040
53,934
Archrock
Partners,
LP
70,000
6.250%,
4/1/2028
j
65,975
BP
Capital
Markets
America,
Inc.
172,000
2.520%,
9/19/2022
177,894
33,000
2.937%,
4/6/2023
34,902
BP
Capital
Markets
plc
84,000
4.875%,
3/22/2030
b,m
89,880
Buckeye
Partners,
LP
80,000
4.125%,
3/1/2025
j
76,400
60,000
3.950%,
12/1/2026
56,003
20,000
4.125%,
12/1/2027
18,950
Canadian
Natural
Resources,
Ltd.
43,000
2.950%,
1/15/2023
44,716
34,000
2.050%,
7/15/2025
34,686
Canadian
Oil
Sands,
Ltd.
43,000
9.400%,
9/1/2021
j
45,453
Cheniere
Energy
Partners,
LP
225,000
5.625%,
10/1/2026
234,000
Chevron
Corporation
17,000
1.141%,
5/11/2023
17,328
34,000
1.554%,
5/11/2025
35,225
Comstock
Resources,
Inc.
50,000
9.750%,
8/15/2026
51,260
Continental
Resources,
Inc.
83,000
5.000%,
9/15/2022
82,430
50,000
4.500%,
4/15/2023
47,670
DCP
Midstream
Operating,
LP
70,000
5.625%,
7/15/2027
71,610
Devon
Energy
Corporation
35,000
5.850%,
12/15/2025
39,216
Diamondback
Energy,
Inc.
34,000
2.875%,
12/1/2024
34,419
Enagas
SA
195,000
5.500%,
1/15/2028
j
175,500
Enbridge,
Inc.
42,000
2.900%,
7/15/2022
43,591
267,000
6.250%,
3/1/2078
b
271,005
Endeavor
Energy
Resources,
LP
30,000
5.500%,
1/30/2026
j
29,775
90,000
5.750%,
1/30/2028
j
90,450
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Energy
(1.4%)
-
continued
Energy
Transfer
Operating,
LP
$
41,000
4.200%,
9/15/2023
$
43,203
70,000
5.875%,
1/15/2024
76,988
80,000
6.625%,
2/15/2028
b,m
54,376
EnLink
Midstream
Partners,
LP
70,000
4.850%,
7/15/2026
60,558
100,000
5.600%,
4/1/2044
64,250
Enterprise
Products
Operating,
LLC
200,000
4.875%,
8/16/2077
b
174,202
EOG
Resources,
Inc.
65,000
2.625%,
3/15/2023
67,709
EQM
Midstream
Partners,
LP
80,000
6.500%,
7/1/2027
j
84,802
40,000
5.500%,
7/15/2028
40,282
EQT
Corporation
120,000
3.900%,
10/1/2027
109,350
EQT
Corporation,
Convertible
117,000
1.750%,
5/1/2026
j
133,345
Equinor
ASA
31,000
2.875%,
4/6/2025
33,692
Exxon
Mobil
Corporation
49,000
1.571%,
4/15/2023
50,397
32,000
2.992%,
3/19/2025
35,045
Harvest
Midstream,
LP
60,000
7.500%,
9/1/2028
j
59,700
Hess
Corporation
41,000
3.500%,
7/15/2024
41,936
Kinder
Morgan
Energy
Partners,
LP
88,000
3.450%,
2/15/2023
92,439
Marathon
Petroleum
Corporation
35,000
4.750%,
12/15/2023
38,357
MPLX,
LP
66,000
4.500%,
7/15/2023
71,522
41,000
1.750%,
3/1/2026
40,907
Murphy
Oil
Corporation
50,000
5.875%,
12/1/2027
42,702
Nabors
Industries,
Ltd.
100,000
7.250%,
1/15/2026
j
49,250
National
Fuel
Gas
Company
34,000
5.500%,
1/15/2026
37,108
Newfield
Exploration
Company
47,000
5.625%,
7/1/2024
45,713
Noble
Energy,
Inc.
55,000
3.900%,
11/15/2024
60,169
NuStar
Logistics,
LP
90,000
5.750%,
10/1/2025
92,952
Occidental
Petroleum
Corporation
64,000
2.700%,
8/15/2022
59,800
140,000
2.900%,
8/15/2024
118,780
50,000
3.400%,
4/15/2026
39,875
50,000
8.500%,
7/15/2027
50,385
80,000
3.500%,
8/15/2029
61,344
50,000
6.450%,
9/15/2036
42,501
120,000
4.400%,
4/15/2046
85,616
ONEOK,
Inc.
16,000
2.200%,
9/15/2025
15,765
Parsley
Energy,
LLC
120,000
5.625%,
10/15/2027
j
119,400
PDC
Energy,
Inc.,
Convertible
9,000
1.125%,
9/15/2021
8,535
Pioneer
Natural
Resources
Company,
Convertible
77,000
0.250%,
5/15/2025
j
84,776
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
35
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Energy
(1.4%)
-
continued
Plains
All
American
Pipeline,
LP
$
169,000
6.125%,
11/15/2022
b,m
$
107,214
13,000
2.850%,
1/31/2023
13,232
16,000
3.600%,
11/1/2024
16,504
35,000
4.650%,
10/15/2025
37,598
QEP
Resources,
Inc.
50,000
5.625%,
3/1/2026
28,375
Sabine
Pass
Liquefaction,
LLC
43,000
6.250%,
3/15/2022
45,630
43,000
5.625%,
4/15/2023
47,098
Schlumberger
Finance
Canada,
Ltd.
35,000
1.400%,
9/17/2025
35,183
Shell
International
Finance
BV
31,000
2.375%,
4/6/2025
33,062
Southwestern
Energy
Company
125,000
7.500%,
4/1/2026
122,187
Suncor
Energy,
Inc.
34,000
3.100%,
5/15/2025
36,517
Sunoco
Logistics
Partners
Operations,
LP
65,000
4.400%,
4/1/2021
65,953
Sunoco,
LP
90,000
5.875%,
3/15/2028
92,025
Targa
Resources
Partners,
LP
140,000
5.375%,
2/1/2027
140,787
20,000
5.000%,
1/15/2028
19,500
Transocean
Guardian,
Ltd.
54,601
5.875%,
1/15/2024
j
35,218
W&T
Offshore,
Inc.
70,000
9.750%,
11/1/2023
j
48,206
Western
Gas
Partners,
LP
44,000
4.000%,
7/1/2022
44,261
Western
Midstream
Operating,
LP
30,000
6.250%,
2/1/2050
27,787
70,000
4.100%,
2/1/2025
66,675
70,000
3.950%,
6/1/2025
65,786
Williams
Partners,
LP
88,000
4.000%,
11/15/2021
90,622
50,000
4.500%,
11/15/2023
54,745
WPX
Energy,
Inc.
60,000
5.750%,
6/1/2026
62,100
70,000
5.250%,
10/15/2027
71,050
Total
5,889,668
Financials
(4.2%)
ACE
INA
Holdings,
Inc.
65,000
2.875%,
11/3/2022
67,987
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
59,000
3.150%,
2/15/2024
58,504
32,000
3.500%,
1/15/2025
31,166
Air
Lease
Corporation
83,000
2.500%,
3/1/2021
83,499
Aircastle,
Ltd.
51,000
5.000%,
4/1/2023
51,112
Ally
Financial,
Inc.
52,000
1.450%,
10/2/2023
51,870
115,000
5.750%,
11/20/2025
129,097
American
Express
Company
34,000
3.700%,
8/3/2023
36,828
35,000
3.400%,
2/22/2024
38,022
American
International
Group,
Inc.
17,000
2.500%,
6/30/2025
18,168
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Financials
(4.2%)
-
continued
Athene
Global
Funding
$
60,000
4.000%,
1/25/2022
j
$
62,288
Australia
and
New
Zealand
Banking
Group,
Ltd.
57,000
2.950%,
7/22/2030
b,j
59,065
Aviation
Capital
Group,
LLC
31,000
5.500%,
12/15/2024
j
31,978
Avolon
Holdings
Funding,
Ltd.
18,000
5.250%,
5/15/2024
j
18,080
BAC
Capital
Trust
XIV
92,000
4.000%,
(LIBOR
3M
+
0.400%),
10/19/2020
b,m
90,918
Banco
Santander
Mexico
SA
17,000
5.375%,
4/17/2025
j
18,904
Bank
of
America
Corporation
58,000
2.738%,
1/23/2022
b
58,409
82,000
3.499%,
5/17/2022
b
83,528
55,000
3.004%,
12/20/2023
b
57,746
115,000
3.550%,
3/5/2024
b
122,492
164,000
5.125%,
6/20/2024
b,m
168,171
143,000
3.864%,
7/23/2024
b
154,856
70,000
4.200%,
8/26/2024
77,942
360,000
6.250%,
9/5/2024
b,m
385,650
35,000
3.458%,
3/15/2025
b
37,932
85,000
1.319%,
6/19/2026
b
85,512
168,000
5.875%,
3/15/2028
b,m
181,147
Bank
of
Montreal
105,000
3.300%,
2/5/2024
113,735
Bank
of
New
York
Mellon
Corporation
58,000
2.600%,
2/7/2022
59,676
35,000
1.600%,
4/24/2025
36,335
42,000
4.700%,
9/20/2025
b,m
44,562
Bank
of
Nova
Scotia
72,000
2.375%,
1/18/2023
74,989
32,000
1.950%,
2/1/2023
33,071
126,000
4.900%,
6/4/2025
b,m
130,410
Barclays
plc
65,000
4.610%,
2/15/2023
b
68,034
81,000
4.338%,
5/16/2024
b
86,951
85,000
8.000%,
6/15/2024
b,m
90,525
41,000
2.852%,
5/7/2026
b
42,566
BB&T
Corporation
34,000
2.500%,
8/1/2024
36,186
BNP
Paribas
SA
84,000
7.625%,
3/30/2021
b,j,m
85,470
38,000
2.819%,
11/19/2025
b,j
40,086
BPCE
SA
35,000
3.000%,
5/22/2022
j
36,206
32,000
2.375%,
1/14/2025
j
33,270
Camden
Property
Trust
35,000
4.875%,
6/15/2023
38,406
Canadian
Imperial
Bank
of
Commerce
32,000
2.250%,
1/28/2025
33,744
Capital
One
Bank
USA
NA
52,000
3.375%,
2/15/2023
54,953
48,000
2.280%,
1/28/2026
b
49,669
Capital
One
Financial
Corporation
129,000
3.050%,
3/9/2022
133,252
Cascades
USA,
Inc.
120,000
5.125%,
1/15/2026
j
125,724
Central
Fidelity
Capital
Trust
I
135,000
1.275%,
(LIBOR
3M
+
1.000%),
4/15/2027
b
126,022
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
36
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Financials
(4.2%)
-
continued
Charles
Schwab
Corporation
$
332,000
5.375%,
6/1/2025
b,m
$
359,739
CIT
Group,
Inc.
150,000
4.750%,
2/16/2024
154,405
Citigroup,
Inc.
43,000
2.750%,
4/25/2022
44,435
43,000
0.935%,
(LIBOR
3M
+
0.690%),
10/27/2022
b
43,213
136,000
2.312%,
11/4/2022
b
138,654
83,000
3.142%,
1/24/2023
b
85,631
184,000
5.000%,
9/12/2024
b,m
183,080
258,000
4.700%,
1/30/2025
b,m
249,292
105,000
3.352%,
4/24/2025
b
113,584
92,000
5.950%,
5/15/2025
b,m
96,370
85,000
5.500%,
9/13/2025
100,523
CNA
Financial
Corporation
40,000
3.950%,
5/15/2024
44,315
Comerica,
Inc.
42,000
5.625%,
7/1/2025
b,m
44,100
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
86,000
3.950%,
11/9/2022
91,375
Cooperatieve
Rabobank
UA
35,000
1.339%,
6/24/2026
b,j
35,424
Corporate
Office
Properties,
LP
35,000
2.250%,
3/15/2026
35,393
Credit
Acceptance
Corporation
70,000
5.125%,
12/31/2024
j
69,512
Credit
Agricole
SA
43,000
3.375%,
1/10/2022
j
44,408
84,000
8.125%,
12/23/2025
b,j,m
98,700
35,000
1.907%,
6/16/2026
b,j
35,787
Credit
Suisse
Group
AG
138,000
7.500%,
12/11/2023
b,j,m
150,420
34,000
2.593%,
9/11/2025
b,j
35,478
Credit
Suisse
Group
Funding
(Guernsey),
Ltd.
132,000
3.800%,
9/15/2022
139,520
Dai-ichi
Life
Insurance
Company,
Ltd.
238,000
5.100%,
10/28/2024
b,j,m
263,882
Danske
Bank
AS
61,000
5.000%,
1/12/2023
b,j
63,935
Deutsche
Bank
AG
69,000
2.222%,
9/18/2024
b
69,453
Deutsche
Bank
AG
of
New
York
34,000
3.950%,
2/27/2023
35,710
Digital
Realty
Trust,
LP
65,000
2.750%,
2/1/2023
67,984
Discover
Bank
35,000
4.200%,
8/8/2023
38,297
51,000
2.450%,
9/12/2024
53,797
ESH
Hospitality,
Inc.
70,000
5.250%,
5/1/2025
j
70,700
30,000
4.625%,
10/1/2027
j
29,438
Fidelity
National
Financial,
Inc.
57,000
5.500%,
9/1/2022
61,860
Fifth
Third
Bancorp
65,000
2.600%,
6/15/2022
67,197
35,000
3.650%,
1/25/2024
38,147
84,000
4.500%,
9/30/2025
b,m
84,525
First
Horizon
National
Corporation
41,000
3.550%,
5/26/2023
43,141
FNB
Corporation
64,000
2.200%,
2/24/2023
64,567
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Financials
(4.2%)
-
continued
FTI
Consulting,
Inc.,
Convertible
$
146,000
2.000%,
8/15/2023
$
178,857
General
Electric
Capital
Corporation
68,000
3.100%,
1/9/2023
71,355
Goldman
Sachs
Group,
Inc.
187,000
4.165%,
(LIBOR
3M
+
3.922%),
11/2/2020
b,m
183,784
88,000
3.000%,
4/26/2022
89,269
59,000
2.876%,
10/31/2022
b
60,410
43,000
1.298%,
(LIBOR
3M
+
1.050%),
6/5/2023
b
43,280
70,000
3.625%,
2/20/2024
76,010
206,000
5.500%,
8/10/2024
b,m
217,330
31,000
3.500%,
4/1/2025
34,204
49,000
3.272%,
9/29/2025
b
53,040
52,000
4.250%,
10/21/2025
59,077
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Convertible
112,000
4.125%,
9/1/2022
180,079
Hartford
Financial
Services
Group,
Inc.
66,000
2.405%,
(LIBOR
3M
+
2.125%),
2/12/2047
b,j
56,774
HCP,
Inc.
33,000
4.250%,
11/15/2023
36,112
Hospitality
Properties
Trust
60,000
4.250%,
2/15/2021
59,700
HSBC
Holdings
plc
88,000
6.875%,
6/1/2021
b,m
89,760
65,000
3.803%,
3/11/2025
b
70,218
136,000
6.375%,
3/30/2025
b,m
142,349
39,000
2.633%,
11/7/2025
b
40,623
41,000
1.645%,
4/18/2026
b
40,884
91,000
6.500%,
3/23/2028
b,m
96,630
Huntington
Bancshares,
Inc.
45,000
3.150%,
3/14/2021
45,482
126,000
4.450%,
10/15/2027
b,m
124,740
Icahn
Enterprises,
LP
75,000
6.750%,
2/1/2024
76,933
90,000
6.375%,
12/15/2025
92,517
60,000
6.250%,
5/15/2026
62,550
ILFC
E-Capital
Trust
II
138,000
3.230%,
(H15T30Y
+
1.800%),
12/21/2065
b,j
74,865
ING
Groep
NV
70,000
4.100%,
10/2/2023
76,756
Intercontinental
Exchange,
Inc.
34,000
0.700%,
6/15/2023
34,089
Iron
Mountain,
Inc.
80,000
4.875%,
9/15/2027
j
81,581
iStar,
Inc.,
Convertible
33,000
3.125%,
9/15/2022
35,097
J.P.
Morgan
Chase
&
Company
99,000
2.776%,
4/25/2023
b
102,376
70,000
3.375%,
5/1/2023
74,714
210,000
5.150%,
5/1/2023
b,m
211,050
89,000
1.494%,
(LIBOR
3M
+
1.230%),
10/24/2023
b
90,374
84,000
6.750%,
2/1/2024
b,m
90,930
24,000
1.514%,
6/1/2024
b
24,519
296,000
5.000%,
8/1/2024
b,m
295,490
70,000
3.875%,
9/10/2024
77,426
145,000
4.023%,
12/5/2024
b
159,459
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
37
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Financials
(4.2%)
-
continued
$
258,000
4.600%,
2/1/2025
b,m
$
252,840
31,000
2.083%,
4/22/2026
b
32,378
Kilroy
Realty,
LP
39,000
4.375%,
10/1/2025
43,049
Liberty
Mutual
Group,
Inc.
35,000
5.000%,
6/1/2021
j
36,066
Lincoln
National
Corporation
50,000
2.638%,
(LIBOR
3M
+
2.358%),
5/17/2066
b
36,075
Lloyds
Banking
Group
plc
67,000
3.000%,
1/11/2022
68,934
51,000
2.858%,
3/17/2023
b
52,426
65,000
3.900%,
3/12/2024
70,745
86,000
7.500%,
6/27/2024
b,m
90,193
156,000
6.657%,
5/21/2037
b,j,m
184,860
MetLife,
Inc.
84,000
3.850%,
9/15/2025
b,m
83,685
164,000
5.875%,
3/15/2028
b,m
178,350
MGIC
Investment
Corporation,
Convertible
100,000
9.000%,
4/1/2063
j
127,750
MGM
Growth
Properties
Operating
Partnership,
LP
90,000
4.625%,
6/15/2025
j
91,800
Mitsubishi
UFJ
Financial
Group,
Inc.
44,000
2.998%,
2/22/2022
45,468
53,000
2.623%,
7/18/2022
54,930
83,000
3.455%,
3/2/2023
88,359
35,000
3.407%,
3/7/2024
38,024
41,000
1.412%,
7/17/2025
41,506
Mizuho
Financial
Group,
Inc.
53,000
2.721%,
7/16/2023
b
54,887
Morgan
Stanley
86,000
5.500%,
7/28/2021
89,614
43,000
2.750%,
5/19/2022
44,561
10,000
4.875%,
11/1/2022
10,811
84,000
3.125%,
1/23/2023
88,826
66,000
4.100%,
5/22/2023
71,336
34,000
2.720%,
7/22/2025
b
36,117
69,000
2.188%,
4/28/2026
b
72,228
MPT
Operating
Partnership,
LP
100,000
5.250%,
8/1/2026
103,000
130,000
4.625%,
8/1/2029
135,261
National
Australia
Bank,
Ltd.
48,000
1.875%,
12/13/2022
49,573
National
Bank
of
Canada
48,000
2.100%,
2/1/2023
49,620
National
Securities
Clearing
Corporation
35,000
1.200%,
4/23/2023
j
35,616
Natwest
Group
plc
35,000
6.125%,
12/15/2022
38,284
35,000
6.100%,
6/10/2023
38,721
Nippon
Life
Insurance
Company
129,000
3.400%,
1/23/2050
b,j
137,385
Nomura
Holdings,
Inc.
39,000
2.648%,
1/16/2025
41,062
Nordea
Bank
Abp
200,000
6.625%,
3/26/2026
b,j,m
225,666
Outfront
Media
Cap,
LLC
120,000
4.625%,
3/15/2030
j
115,200
Park
Aerospace
Holdings,
Ltd.
17,000
4.500%,
3/15/2023
j
16,865
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Financials
(4.2%)
-
continued
PayPal
Holdings,
Inc.
$
35,000
1.650%,
6/1/2025
$
36,243
PNC
Financial
Services
Group,
Inc.
35,000
3.500%,
1/23/2024
38,138
Preferred
Term
Securities
XXIII,
Ltd.
42,333
0.450%,
(LIBOR
3M
+
0.200%),
12/22/2036
b,j
34,902
Provident
Financing
Trust
I
42,000
7.405%,
3/15/2038
48,175
Prudential
Financial,
Inc.
245,000
5.625%,
6/15/2043
b
260,202
201,000
5.200%,
3/15/2044
b
212,881
42,000
3.700%,
10/1/2050
b
42,853
Quicken
Loans,
LLC
60,000
3.625%,
3/1/2029
j
59,475
60,000
3.875%,
3/1/2031
j
59,250
Regions
Financial
Corporation
41,000
3.800%,
8/14/2023
44,450
84,000
5.750%,
6/15/2025
b,m
89,670
Reinsurance
Group
of
America,
Inc.
64,000
4.700%,
9/15/2023
70,662
Royal
Bank
of
Canada
31,000
1.600%,
4/17/2023
31,811
31,000
2.250%,
11/1/2024
32,853
Royal
Bank
of
Scotland
Group
plc
84,000
8.625%,
8/15/2021
b,m
86,100
88,000
4.269%,
3/22/2025
b
95,646
25,000
3.754%,
11/1/2029
b
25,884
Santander
Holdings
USA,
Inc.
33,000
3.450%,
6/2/2025
35,216
Santander
UK
Group
Holdings
plc
86,000
2.875%,
8/5/2021
87,728
Santander
UK
plc
48,000
2.100%,
1/13/2023
49,532
Service
Properties
Trust
60,000
4.500%,
6/15/2023
58,864
70,000
4.750%,
10/1/2026
62,380
Simon
Property
Group,
LP
40,000
2.500%,
7/15/2021
40,432
34,000
2.000%,
9/13/2024
35,046
Societe
Generale
SA
39,000
2.625%,
10/16/2024
j
40,396
84,000
8.000%,
9/29/2025
b,j,m
93,765
Springleaf
Finance
Corporation
90,000
6.875%,
3/15/2025
99,871
100,000
7.125%,
3/15/2026
111,720
Standard
Chartered
plc
52,000
2.744%,
9/10/2022
b,j
52,822
Starwood
Property
Trust,
Inc.,
Convertible
28,000
4.375%,
4/1/2023
26,842
State
Street
Corporation
31,000
2.825%,
3/30/2023
b,j
32,075
31,000
2.354%,
11/1/2025
b
32,808
Sumitomo
Mitsui
Financial
Group,
Inc.
43,000
2.784%,
7/12/2022
44,684
136,000
2.778%,
10/18/2022
142,030
39,000
2.448%,
9/27/2024
41,211
Sumitomo
Mitsui
Trust
Bank,
Ltd.
35,000
1.050%,
9/12/2025
j
35,126
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
38
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Financials
(4.2%)
-
continued
Synchrony
Financial
$
34,000
2.850%,
7/25/2022
$
35,020
38,000
4.250%,
8/15/2024
41,286
Toronto-Dominion
Bank
35,000
3.250%,
3/11/2024
37,926
Truist
Bank
52,000
1.500%,
3/10/2025
53,607
Truist
Financial
Corporation
189,000
4.950%,
9/1/2025
b,m
198,923
UBS
Group
AG
42,000
1.364%,
1/30/2027
b,j
41,968
USB
Realty
Corporation
184,000
1.422%,
(LIBOR
3M
+
1.147%),
1/15/2022
b,j,m
149,040
Ventas
Realty,
LP
41,000
3.100%,
1/15/2023
42,628
35,000
3.750%,
5/1/2024
37,495
VEREIT
Operating
Partnership,
LP
34,000
4.625%,
11/1/2025
37,559
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
50,000
4.250%,
12/1/2026
j
50,233
30,000
3.750%,
2/15/2027
j
29,498
50,000
4.625%,
12/1/2029
j
51,072
30,000
4.125%,
8/15/2030
j
29,550
Wachovia
Capital
Trust
II
50,000
0.775%,
(LIBOR
3M
+
0.500%),
1/15/2027
b
45,519
Wells
Fargo
&
Company
50,000
2.100%,
7/26/2021
50,698
43,000
2.625%,
7/22/2022
44,606
70,000
4.125%,
8/15/2023
76,253
60,000
1.491%,
(LIBOR
3M
+
1.230%),
10/31/2023
b
60,747
38,000
3.750%,
1/24/2024
41,282
40,000
1.654%,
6/2/2024
b
40,735
68,000
2.406%,
10/30/2025
b
71,243
48,000
2.188%,
4/30/2026
b
49,851
Westpac
Banking
Corporation
32,000
2.000%,
1/13/2023
33,170
32,000
2.894%,
2/4/2030
b
33,157
Total
17,838,277
Foreign
Government
(<0.1%)
Sinopec
Group
Overseas
Development
2018,
Ltd.
42,000
2.150%,
5/13/2025
j
43,373
Total
43,373
Mortgage-Backed
Securities
(4.4%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
792,410
3.000%,
3/25/2050
830,911
95,671
3.500%,
7/1/2047
101,230
Federal
Home
Loan
Mortgage
Corporation
Gold
30-Yr.
Pass
Through
192
9.000%,
4/1/2025
212
1,767
8.000%,
6/1/2027
1,987
794
8.000%,
8/1/2030
949
Federal
National
Mortgage
Association
236,798
4.500%,
5/1/2048
256,453
374,252
3.500%,
10/1/2048
395,432
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Mortgage-Backed
Securities
(4.4%)
-
continued
$
68,946
3.500%,
6/1/2049
$
72,931
440,630
3.500%,
8/1/2049
466,577
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
1,750,000
1.500%,
10/1/2035
e
1,790,059
925,000
2.000%,
10/1/2035
e
961,133
1,318,000
2.500%,
10/1/2035
e
1,376,074
2,060,000
2.000%,
11/1/2035
e
2,139,653
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
3,625,000
2.000%,
10/1/2050
e
3,747,344
2,400,000
2.500%,
10/1/2050
e
2,517,187
1,200,000
2.000%,
11/1/2050
e
1,237,535
700,000
2.500%,
11/1/2050
e
732,669
291
8.000%,
11/1/2026
322
2,500
8.500%,
4/1/2030
3,025
725,572
4.000%,
7/1/2048
773,881
700,000
3.000%,
10/1/2049
e
733,277
Federal
National
Mortgage
AssociationConventional
15-Yr.
Pass
Through
500,000
1.500%,
11/1/2035
e
511,091
Government
National
Mortgage
Association
30-Yr.
Pass
Through
457
9.000%,
12/15/2026
517
Total
18,650,449
Technology
(1.4%)
Akamai
Technologies,
Inc.,
Convertible
424,000
0.375%,
9/1/2027
490,533
Apple,
Inc.
122,000
3.450%,
5/6/2024
134,454
35,000
1.125%,
5/11/2025
35,810
Baidu,
Inc.
39,000
3.075%,
4/7/2025
41,446
Black
Knight
InfoServ,
LLC
20,000
3.625%,
9/1/2028
j
20,212
Broadcom
Corporation
133,000
2.650%,
1/15/2023
138,154
48,000
3.125%,
1/15/2025
51,196
Broadcom,
Inc.
17,000
2.250%,
11/15/2023
17,673
CommScope
Technologies
Finance,
LLC
215,000
6.000%,
6/15/2025
j
217,913
Dell
International,
LLC/
EMC
Corporation
52,000
4.000%,
7/15/2024
j
56,182
15,000
5.850%,
7/15/2025
j
17,502
Diamond
1
Finance
Corporation
122,000
5.450%,
6/15/2023
j
133,754
Diamond
Sports
Group,
LLC
70,000
5.375%,
8/15/2026
j
49,525
130,000
6.625%,
8/15/2027
j
67,600
Fiserv,
Inc.
75,000
2.750%,
7/1/2024
80,177
Gartner,
Inc.
70,000
4.500%,
7/1/2028
j
73,339
50,000
3.750%,
10/1/2030
j
50,577
Global
Payments,
Inc.
17,000
2.650%,
2/15/2025
18,038
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
39
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Technology
(1.4%)
-
continued
Hewlett
Packard
Enterprise
Company
$
33,000
2.250%,
4/1/2023
$
34,056
28,000
4.450%,
10/2/2023
30,789
Intuit,
Inc.
35,000
0.950%,
7/15/2025
35,327
Iron
Mountain,
Inc.
140,000
5.000%,
7/15/2028
j
143,497
J2
Global,
Inc.,
Convertible
119,000
1.750%,
11/1/2026
j
105,222
91,000
3.250%,
6/15/2029
104,121
Lumentum
Holdings,
Inc.,
Convertible
88,000
0.250%,
3/15/2024
123,029
Marvell
Technology
Group,
Ltd.
41,000
4.200%,
6/22/2023
44,263
Microchip
Technology,
Inc.,
Convertible
73,000
1.625%,
2/15/2027
112,469
Micron
Technology,
Inc.
46,000
2.497%,
4/24/2023
47,766
NCR
Corporation
230,000
6.125%,
9/1/2029
j
243,023
Nuance
Communications,
Inc.,
Convertible
574,000
1.250%,
4/1/2025
1,016,726
NXP
BV/NXP
Funding,
LLC
52,000
4.875%,
3/1/2024
j
58,466
NXP
Funding,
LLC
17,000
2.700%,
5/1/2025
j
17,994
ON
Semiconductor
Corporation,
Convertible
57,000
1.000%,
12/1/2020
68,115
269,000
1.625%,
10/15/2023
355,248
Open
Text
Corporation
100,000
4.125%,
2/15/2030
j
102,844
Oracle
Corporation
30,000
2.500%,
5/15/2022
30,938
47,000
2.500%,
4/1/2025
50,363
Panasonic
Corporation
53,000
2.536%,
7/19/2022
j
54,690
Plantronics,
Inc.
130,000
5.500%,
5/31/2023
j
115,700
PTC,
Inc.
40,000
3.625%,
2/15/2025
j
40,600
Qorvo,
Inc.
70,000
3.375%,
4/1/2031
j
71,199
Seagate
HDD
Cayman
34,000
4.250%,
3/1/2022
35,482
34,000
4.750%,
1/1/2025
37,321
Sensata
Technologies,
Inc.
120,000
3.750%,
2/15/2031
j
119,250
SS&C
Technologies,
Inc.
170,000
5.500%,
9/30/2027
j
180,662
Switch,
Ltd.
30,000
3.750%,
9/15/2028
j
30,300
Tencent
Holdings,
Ltd.
41,000
1.810%,
1/26/2026
j
41,801
Teradyne,
Inc.,
Convertible
63,000
1.250%,
12/15/2023
160,747
Texas
Instruments,
Inc.
46,000
1.375%,
3/12/2025
47,592
Total
System
Services,
Inc.
35,000
3.750%,
6/1/2023
37,523
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Technology
(1.4%)
-
continued
Verint
Systems,
Inc.,
Convertible
$
159,000
1.500%,
6/1/2021
$
160,590
Vishay
Intertechnology,
Inc.,
Convertible
130,000
2.250%,
6/15/2025
125,799
Xerox
Holdings
Corporation
70,000
5.000%,
8/15/2025
j
69,179
Total
5,746,776
Transportation
(0.4%)
AerCap
Holdings
NV
150,000
5.875%,
10/10/2079
b
115,021
Air
Canada
Pass
Through
Trust
15,604
3.875%,
3/15/2023
j
13,422
Air
Lease
Corporation
32,000
2.300%,
2/1/2025
31,421
35,000
3.375%,
7/1/2025
35,733
Air
Transport
Services
Group,
Inc.,
Convertible
63,000
1.125%,
10/15/2024
66,379
American
Airlines,
Inc.
20,000
11.750%,
7/15/2025
j
19,300
CSX
Corporation
35,000
3.700%,
11/1/2023
37,976
Delta
Air
Lines,
Inc.
110,000
7.000%,
5/1/2025
j
120,760
68,882
4.500%,
10/20/2025
j
70,690
J.B.
Hunt
Transport
Services,
Inc.
65,000
3.300%,
8/15/2022
67,662
Meritor,
Inc.,
Convertible
200,000
3.250%,
10/15/2037
207,500
Mileage
Plus
Holdings,
LLC
70,000
6.500%,
6/20/2027
j
72,888
Penske
Truck
Leasing
Company,
LP
35,000
3.375%,
2/1/2022
j
36,139
Ryder
System,
Inc.
75,000
3.500%,
6/1/2021
76,534
Southwest
Airlines
Company
17,000
4.750%,
5/4/2023
18,154
50,000
5.250%,
5/4/2025
55,057
Southwest
Airlines
Company,
Convertible
221,000
1.250%,
5/1/2025
288,405
Union
Pacific
Corporation
62,000
3.750%,
7/15/2025
70,585
United
Airlines
Pass
Through
Trust
65,000
3.700%,
12/1/2022
60,883
XPO
Logistics,
Inc.
150,000
6.750%,
8/15/2024
j
158,880
Total
1,623,389
Utilities
(0.8%)
AES
Corporation
100,000
5.125%,
9/1/2027
106,510
Alabama
Power
Company
44,000
2.450%,
3/30/2022
45,215
Ameren
Corporation
34,000
2.500%,
9/15/2024
36,007
Berkshire
Hathaway
Energy
Company
31,000
4.050%,
4/15/2025
j
35,362
Calpine
Corporation
90,000
4.500%,
2/15/2028
j
92,173
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
40
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Utilities
(0.8%)
-
continued
CenterPoint
Energy,
Inc.
$
43,000
2.500%,
9/1/2022
$
44,435
34,000
2.500%,
9/1/2024
36,167
Dominion
Energy,
Inc.
35,000
2.715%,
8/15/2021
35,640
35,000
3.071%,
8/15/2024
37,630
135,000
4.650%,
12/15/2024
b,m
136,806
DTE
Energy
Company
56,000
3.300%,
6/15/2022
58,273
53,000
2.529%,
10/1/2024
56,332
Duke
Energy
Corporation
86,000
2.400%,
8/15/2022
88,888
138,000
4.875%,
9/16/2024
b,m
145,977
Edison
International
31,000
4.950%,
4/15/2025
33,926
Entergy
Corporation
34,000
0.900%,
9/15/2025
33,953
Evergy,
Inc.
34,000
2.450%,
9/15/2024
35,986
Eversource
Energy
43,000
2.500%,
3/15/2021
43,352
Exelon
Generation
Company,
LLC
34,000
3.250%,
6/1/2025
37,163
FirstEnergy
Corporation
66,000
2.850%,
7/15/2022
67,647
30,000
2.050%,
3/1/2025
30,345
Florida
Power
&
Light
Company
31,000
2.850%,
4/1/2025
33,993
Georgia
Power
Company
32,000
2.100%,
7/30/2023
33,402
34,000
2.200%,
9/15/2024
35,862
GFL
Environmental,
Inc.
80,000
3.750%,
8/1/2025
j
79,800
NextEra
Energy
Operating
Partners,
LP
220,000
3.875%,
10/15/2026
j
227,700
NiSource,
Inc.
213,000
5.650%,
6/15/2023
b,m
211,402
35,000
0.950%,
8/15/2025
34,956
PG&E
Corporation
50,000
5.000%,
7/1/2028
48,500
40,000
5.250%,
7/1/2030
38,700
PPL
Capital
Funding,
Inc.
70,000
3.950%,
3/15/2024
76,855
PSEG
Power,
LLC
55,000
3.000%,
6/15/2021
55,893
Public
Service
Enterprise
Group,
Inc.
35,000
2.875%,
6/15/2024
37,444
Sempra
Energy
68,000
3.550%,
6/15/2024
73,612
84,000
4.875%,
10/15/2025
b,m
86,310
Southern
Company
119,000
4.000%,
1/15/2051
b
119,330
Suburban
Propane
Partners,
LP
90,000
5.875%,
3/1/2027
92,138
Talen
Energy
Supply,
LLC
90,000
7.625%,
6/1/2028
j
90,000
TerraForm
Power
Operating,
LLC
90,000
5.000%,
1/31/2028
j
98,521
TransCanada
Trust
350,000
5.875%,
8/15/2076
b
372,750
Principal
Amount
Long-Term
Fixed
Income
(25.2%)
Value
Utilities
(0.8%)
-
continued
Vistra
Operations
Company,
LLC
$
130,000
5.000%,
7/31/2027
j
$
136,533
Total
3,221,488
Total
Long-Term
Fixed
Income
(cost
$104,950,059)
106,791,906
Shares
Registered
Investment
Companies
(
8.0%
)
Value
Unaffiliated (1.1%)
12,245
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
48,858
6,375
AllianceBernstein
Global
High
Income
Fund,
Inc.
67,001
13,850
AllianzGI
NFJ
Dividend
Interest
&
Premium
Strategy
Fund
163,430
2,992
BlackRock
Core
Bond
Trust
46,855
4,621
BlackRock
Corporate
High
Yield
Fund,
Inc.
49,352
3,333
BlackRock
Credit
Allocation
Income
Trust
47,395
4,650
BlackRock
Enhanced
Equity
Dividend
Trust
33,992
7,190
BlackRock
Enhanced
Global
Dividend
Trust
68,808
3,960
BlackRock
Multi-Sector
Income
Trust
62,489
19,841
BlackRock
Resources
&
Commodities
Strategy
Trust
118,054
2,700
Brookfield
Real
Assets
Income
Fund,
Inc.
44,604
4,596
Cohen
&
Steers
Quality
Income
Realty
Fund,
Inc.
51,062
4,042
Eaton
Vance
Limited
Duration
Income
Fund
45,715
6,461
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
47,553
1,941
Health
Care
Select
Sector
SPDR
Fund
204,737
5,350
Invesco
Dynamic
Credit
Opportunities
Fund
49,273
17,500
Invesco
Senior
Loan
ETF
380,450
2,375
iShares
Dow
Jones
US
Home
Construction
Index
Fund
134,544
1,660
iShares
iBoxx
$
High
Yield
Corporate
Bond
ETF
139,274
22,500
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
820,125
12,240
Liberty
All-Star
Equity
Fund
73,562
10,950
Nuveen
Credit
Strategies
Income
Fund
64,714
3,699
PGIM
Global
High
Yield
Fund,
Inc.
49,012
3,616
PGIM
High
Yield
Bond
Fund,
Inc.
49,937
2,493
Pimco
Dynamic
Credit
And
Mortgage
Income
Fund
50,059
4,381
Royce
Micro-Cap
Trust,
Inc.
33,602
3,909
Royce
Value
Trust,
Inc.
49,410
29,782
Templeton
Global
Income
Fund
159,334
1,861
Tri-Continental
Corporation
48,256
580
Utilities
Select
Sector
SPDR
Fund
k
34,440
8,450
Vanguard
Short-Term
Corporate
Bond
ETF
k
700,083
9,372
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
46,391
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
41
Shares
Registered
Investment
Companies
(8.0%)
Value
Unaffiliated (1.1%)-
continued
6,300
Wells
Fargo
Income
Opportunities
Fund
$
45,990
33,188
Western
Asset
High
Income
Opportunity
Fund,
Inc.
162,621
Total
4,190,982
Affiliated (6.9%)
2,983,164
Thrivent
Core
Emerging
Markets
Debt
Fund
29,294,670
Total
29,294,670
Total
Registered
Investment
Companies
(cost
$33,071,861)
33,485,652
Shares
Preferred
Stock
(
1.2%
)
Value
Communications
Services
(0.1%)
8,625
AT&T,
Inc.,
4.750%
m
219,938
2,375
AT&T,
Inc.,
5.000%
m
63,436
Total
283,374
Consumer
Discretionary
(<0.1%)
476
International
Flavors
&
Fragrances,
Inc.,
Convertible,
6.000%
21,087
Total
21,087
Consumer
Staples
(0.1%)
12,800
CHS,
Inc.,
7.100%
b,m
341,120
Total
341,120
Energy
(<0.1%)
17,758
Crestwood
Equity
Partners,
LP,
9.250%
m
104,595
1,600
Energy
Transfer
Operating,
LP,
7.600%
b,m
27,856
3,136
Nustar
Logistics,
LP,
7.009%
b
60,023
Total
192,474
Financials
(0.7%)
2,750
Aegon
Funding
Corporation
II,
5.100%
70,042
3,174
Agribank
FCB,
6.875%
b,m
338,031
5,700
Allstate
Corporation,
5.100%
m
152,646
5,000
Bank
of
America
Corporation,
5.000%
m
131,200
2,000
Bank
of
America
Corporation,
5.375%
m
53,740
72
Bank
of
America
Corporation,
Convertible,
7.250%
m
107,136
5,525
Capital
One
Financial
Corporation,
5.000%
m
138,567
2,485
Cobank
ACB,
6.250%
b,m
258,440
5,875
Equitable
Holdings,
Inc.,
5.250%
m
149,989
140
First
Horizon
Bank,
3.750%
b,j,m
105,000
7,800
GMAC
Capital
Trust
I,
6.065%
b
194,766
3,700
Hartford
Financial
Services
Group,
Inc.,
7.875%
b
102,379
3,650
J.P.
Morgan
Chase
&
Company,
4.750%
m
96,579
3,350
J.P.
Morgan
Chase
&
Company,
5.750%
m
91,488
3,350
Legg
Mason,
Inc.,
5.450%
85,425
6,200
Morgan
Stanley,
7.125%
b,m
171,120
775
Synovus
Financial
Corporation,
5.875%
b,m
19,941
Shares
Preferred
Stock
(1.2%)
Value
Financials
(0.7%)
-
continued
5,025
Truist
Financial
Corporation,
4.750%
i,m
$
130,399
483
Wells
Fargo
&
Company,
Convertible,
7.500%
m
648,210
Total
3,045,098
Health
Care
(<0.1%)
111
Danaher
Corporation,
Convertible,
5.000%
141,809
Total
141,809
Industrials
(0.1%)
243
Fortive
Corporation,
Convertible,
5.000%
227,531
1,957
Stanley
Black
&
Decker,
Inc.,
Convertible,
5.250%
197,461
Total
424,992
Real
Estate
(0.1%)
6,150
Public
Storage,
4.125%
i,m
159,470
1,300
Public
Storage,
4.625%
m
34,996
325
Public
Storage,
4.700%
m
8,817
511
Public
Storage,
4.875%
m
13,817
Total
217,100
Utilities
(0.1%)
2,505
NextEra
Energy,
Inc.,
Convertible,
4.872%
135,671
6,725
Southern
Company,
4.950%
177,271
2,432
Southern
Company,
Convertible,
6.750%
113,185
Total
426,127
Total
Preferred
Stock
(cost
$5,028,343)
5,093,181
Shares
Collateral
Held
for
Securities
Loaned
(
0.8%
)
Value
3,591,348
Thrivent
Cash
Management
Trust
3,591,348
Total
Collateral
Held
for
Securities
Loaned
(cost
$3,591,348)
3,591,348
Shares
or
Principal
Amount
Short-Term
Investments
(
9.1%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
200,000
0.090%,
10/7/2020
p,q
199,998
200,000
0.080%,
10/28/2020
p,q
199,991
800,000
0.090%,
11/6/2020
p,q
799,944
200,000
0.080%,
11/12/2020
p,q
199,984
400,000
0.070%,
11/18/2020
p,q
399,963
200,000
0.055%,
12/8/2020
p,q
199,966
200,000
0.055%,
12/9/2020
p,q
199,965
300,000
0.055%,
12/10/2020
p,q
299,947
Thrivent
Core
Short-Term
Reserve
Fund
3,569,877
0.310%
35,698,772
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
42
x
Shares
or
Principal
Amount
Short-Term
Investments
(9.1%)
Value
U.S.
Treasury
Bills
100,000
0.092%,
11/19/2020
p,r
$
99,988
Total
Short-Term
Investments
(cost
$38,276,218)
38,298,518
Total
Investments
(cost
$417,946,864)
105.8%
$447,393,342
Other
Assets
and
Liabilities,
Net
(5.8%)
(24,534,407)
Total
Net
Assets
100.0%
$422,858,935
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
f
In
bankruptcy. Interest
is
not
being
accrued.
g
In
bankruptcy. Interest
is
being
accrued
per
the
bankruptcy
agreement
terms.
h
Denotes
payment-in-kind
security. The
security
may
pay
an
interest
or
dividend
payment
with
additional
fixed
income
or
equity
securities
in
lieu
of,
or
in
addition
to
a
cash
payment. The
cash
rate
and/or
payment-in-kind
rate
shown
are
as
of
September
30,
2020.
i
Non-income
producing
security.
j
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$42,290,224
or
10.0%
of
total
net
assets.
k
All
or
a
portion
of
the
security
is
on
loan.
l
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
30,
2020.
m
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
n
Denotes
interest
only
security. Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets. The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
o
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
p
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
q
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
r
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Balanced
Income
Plus
Portfolio
as
of
September
30,
2020
was
$60,000
or
0.0%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Security
Acquisition
Date
Cost
Windstream
Services,
LLC,
10/31/2025
1/14/2020
$
98,092
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Balanced
Income
Plus
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
171,001
Common
Stock
3,355,790
Total
lending
$3,526,791
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$3,591,348
Net
amounts
due
to
counterparty
$64,557
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
PIK
-
Payment-In-Kind
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
12
MTA
-
12
Month
Treasury
Average
H15T30Y
-
U.
S.
Treasury
Yield
Curve
Rate
Treasury
Note
Constant
Maturity
30
Year
LIBOR
1W
-
ICE
Libor
USD
Rate
1
Week
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
43
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Balanced
Income
Plus
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
2,444,271
–
2,099,504
344,767
Capital
Goods
6,766,476
–
6,360,458
406,018
Communications
Services
17,338,588
–
16,519,776
818,812
Consumer
Cyclical
8,969,645
–
8,273,142
696,503
Consumer
Non-Cyclical
11,945,808
–
11,945,808
–
Energy
1,727,543
–
1,727,543
–
Financials
5,922,165
–
5,922,165
–
Technology
5,791,338
–
5,791,338
–
Transportation
1,587,769
–
1,587,769
–
Utilities
1,960,739
–
1,960,739
–
Common
Stock
Communications
Services
13,583,641
10,799,234
2,784,407
–
Consumer
Discretionary
23,009,976
18,647,227
4,362,749
–
Consumer
Staples
8,645,476
5,658,840
2,986,636
–
Energy
5,662,173
3,786,423
1,875,750
–
Financials
26,736,261
18,778,163
7,958,098
–
Health
Care
29,728,824
22,301,737
7,427,087
–
Industrials
28,015,099
19,479,950
8,535,149
–
Information
Technology
39,822,517
35,130,038
4,692,479
–
Materials
9,114,286
4,514,241
4,600,045
–
Real
Estate
8,226,234
5,428,241
2,797,993
–
Utilities
3,133,908
2,864,004
269,904
–
Long-Term
Fixed
Income
Asset-Backed
Securities
8,462,379
–
8,462,379
–
Basic
Materials
1,789,396
–
1,789,396
–
Capital
Goods
3,903,585
–
3,903,585
–
Collateralized
Mortgage
Obligations
17,783,656
–
17,783,656
–
Commercial
Mortgage-Backed
Securities
753,306
–
753,306
–
Communications
Services
7,009,509
–
7,009,509
–
Consumer
Cyclical
7,004,744
–
7,004,744
–
Consumer
Non-Cyclical
7,071,911
–
7,071,911
–
Energy
5,889,668
–
5,889,668
–
Financials
17,838,277
–
17,838,277
–
Foreign
Government
43,373
–
43,373
–
Mortgage-Backed
Securities
18,650,449
–
18,650,449
–
Technology
5,746,776
–
5,746,776
–
Transportation
1,623,389
–
1,623,389
–
Utilities
3,221,488
–
3,221,488
–
Preferred
Stock
Communications
Services
283,374
283,374
–
–
Consumer
Discretionary
21,087
21,087
–
–
Consumer
Staples
341,120
341,120
–
–
Energy
192,474
192,474
–
–
Financials
3,045,098
2,343,627
701,471
–
Health
Care
141,809
141,809
–
–
Industrials
424,992
424,992
–
–
Real
Estate
217,100
217,100
–
–
Utilities
426,127
426,127
–
–
Registered
Investment
Companies
Unaffiliated
4,190,982
4,190,982
–
–
Short-Term
Investments
2,599,746
–
2,599,746
–
Subtotal
Investments
in
Securities
$378,808,552
$155,970,790
$220,571,662
$2,266,100
Other
Investments *
Total
Affiliated
Registered
Investment
Companies
29,294,670
Affiliated
Short-Term
Investments
35,698,772
Collateral
Held
for
Securities
Loaned
3,591,348
Subtotal
Other
Investments
$68,584,790
Total
Investments
at
Value
$447,393,342
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
44
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
45,252
45,252
–
–
Total
Asset
Derivatives
$45,252
$45,252
$–
$–
Liability
Derivatives
Futures
Contracts
365,948
365,948
–
–
Credit
Default
Swaps
700
–
700
–
Total
Liability
Derivatives
$366,648
$365,948
$700
$–
The
following
table
presents
Balanced
Income
Plus
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$2,499,758
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CME
E-mini
S&P
500
Index
26
December
2020
$
4,349,779
$
7,821
CME
Euro
Foreign
Exchange
Currency
26
December
2020
3,840,532
(
26,495)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
10
December
2020
2,252,684
(
34,559)
Eurex
Euro
STOXX
50
Index
104
December
2020
4,038,667
(
161,118)
ICE
mini
MSCI
EAFE
Index
42
December
2020
4,007,746
(
116,026)
Total
Futures
Long
Contracts
$
18,489,408
(
$
330,377)
CBOT
10-Yr.
U.S.
Treasury
Note
(41)
December
2020
(
$
5,714,263)
(
$
6,518)
CBOT
2-Yr.
U.S.
Treasury
Note
(12)
December
2020
(
2,650,276)
(
1,256)
CBOT
5-Yr.
U.S.
Treasury
Note
(5)
December
2020
(
629,556)
(
600)
CBOT
U.S.
Long
Bond
(25)
December
2020
(
4,444,462)
37,431
CME
E-mini
Russell
2000
Index
(38)
December
2020
(
2,845,508)
(
12,852)
CME
E-mini
S&P
Mid-Cap
400
Index
(18)
December
2020
(
3,336,853)
(
3,767)
Ultra
10-Yr.
U.S.
Treasury
Note
(7)
December
2020
(
1,116,696)
(
2,757)
Total
Futures
Short
Contracts
(
$
20,737,614)
$9,681
Total
Futures
Contracts
(
$
2,248,206)
($320,696)
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
45
The
following
table
presents
Balanced
Income
Plus
Portfolio's
swaps
contracts
held
as
of
September
30,
2020.
Investments
totaling
$99,988
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
35,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2025
$
1,050,000
$
–
(
$
700)
(
$
700)
Total
Credit
Default
Swaps
$–
($700)
($700)
1
As
the
buyer
of
protection,
Balanced
Income
Plus
Portfolio
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Balanced
Income
Plus
Portfolio
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Balanced
Income
Plus
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Balanced
Income
Plus
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$29,953
$1,016
$1,350
$29,295
2,983
6.9%
Total
Affiliated
Registered
Investment
Companies
29,953
29,295
6.9
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
24,791
121,712
110,814
35,699
3,570
8.5
Total
Affiliated
Short-Term
Investments
24,791
35,699
8.5
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
2,787
46,823
46,019
3,591
3,591
0.8
Total
Collateral
Held
for
Securities
Loaned
2,787
3,591
0.8
Total
Value
$57,531
$68,585
Balanced
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
46
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$0
$(324)
–
$1,015
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(12)
22
–
203
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1,218
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
15
Total
Affiliated
Income
from
Securities
Loaned,
Net
$15
Total
Value
$(12)
$(302)
$–
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
47
Principal
Amount
Bank
Loans
(
11.9%
)
a
Value
Basic
Materials
(0.5%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
136,850
4.756%,
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
131,239
Chemours
Company,
Term
Loan
433,875
1.900%,
(LIBOR
1M
+
1.750%),
4/3/2025
b
417,605
Hexion,
Inc.,
Term
Loan
495,317
3.800%,
(LIBOR
3M
+
3.500%),
7/1/2026
b
486,649
Innophos
Holdings,
Inc.,
Term
Loan
497,500
3.897%,
(LIBOR
1M
+
3.750%),
2/7/2027
b,c
492,525
Momentive
Performance
Materials
USA,
LLC,
Term
Loan
459,188
3.410%,
(LIBOR
1M
+
3.250%),
5/15/2024
b
438,813
Nouryon
USA,
LLC,
Term
Loan
838,447
3.151%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
810,603
Peabody
Energy
Corporation,
Term
Loan
614,250
2.897%,
(LIBOR
1M
+
2.750%),
3/31/2025
b
238,022
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
973,703
7.500%,
(LIBOR
1M
+
6.500%),
10/31/2024
b
968,834
Total
3,984,290
Capital
Goods
(1.2%)
Advanced
Disposal
Services,
Inc.,
Term
Loan
465,696
3.000%,
(LIBOR
1W
+
2.250%),
11/10/2023
b
464,532
Asplundh
Tree
Expert,
LLC,
Term
Loan
310,000
0.000%,
(LIBOR
1M
+
2.500%),
9/4/2027
b,d,e
309,420
Flex
Acquisition
Company,
Inc.
Term
Loan
1,000,000
3.546%,
(LIBOR
3M
+
3.250%),
6/29/2025
b
968,750
GFL
Environmental,
Inc.,
Term
Loan
1,364,304
4.000%,
(LIBOR
3M
+
3.000%),
5/31/2025
b
1,356,801
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
706,170
3.523%,
(LIBOR
3M
+
3.250%),
4/3/2024
b
661,597
Natgasoline,
LLC,
Term
Loan
589,500
3.813%,
(LIBOR
3M
+
3.500%),
11/14/2025
b,c
560,025
Navistar,
Inc.,
Term
Loan
999,375
3.660%,
(LIBOR
1M
+
3.500%),
11/6/2024
b
989,381
Reynolds
Group
Holdings,
Inc.,
Term
Loan
715,434
3.979%,
(LIBOR
1M
+
2.750%),
2/5/2023
b
705,868
500,000
0.000%,
(LIBOR
1M
+
3.250%),
2/16/2026
b,d,e
490,500
Principal
Amount
Bank
Loans
(11.9%)
a
Value
Capital
Goods
(1.2%)
-
continued
TransDigm,
Inc.,
Term
Loan
$
1,751,763
2.397%,
(LIBOR
1M
+
2.250%),
12/9/2025
b
$
1,653,226
Vertiv
Group
Corporation,
Term
Loan
1,666,625
3.157%,
(LIBOR
1M
+
3.000%),
3/2/2027
b
1,638,292
Total
9,798,392
Communications
Services
(3.2%)
Altice
France
SA,
Term
Loan
435,375
2.897%,
(LIBOR
1M
+
2.750%),
7/31/2025
b
414,669
CenturyLink,
Inc.,
Term
Loan
1,777,747
2.397%,
(LIBOR
1M
+
2.250%),
3/15/2027
b
1,705,055
Charter
Communications
Operating,
LLC,
Term
Loan
734,337
1.900%,
(LIBOR
1M
+
1.750%),
4/30/2025
b
720,480
CommScope,
Inc.,
Term
Loan
1,257,300
3.397%,
(LIBOR
1M
+
3.250%),
4/4/2026
b
1,222,951
Coral-US
Co-Borrower,
LLC,
Term
Loan
2,065,000
2.397%,
(LIBOR
1M
+
2.250%),
1/31/2028
b
1,994,831
CSC
Holdings,
LLC,
Term
Loan
798,187
2.402%,
(LIBOR
1M
+
2.250%),
7/17/2025
b
770,818
1,850,700
2.652%,
(LIBOR
1M
+
2.500%),
4/15/2027
b
1,790,941
Diamond
Sports
Group,
LLC,
Term
Loan
1,481,269
3.400%,
(LIBOR
1M
+
3.250%),
8/24/2026
b
1,143,051
Entercom
Media
Corporation,
Term
Loan
742,544
2.645%,
(LIBOR
1M
+
2.500%),
11/17/2024
b
697,063
GCI,
LLC,
Term
Loan
1,130,000
0.000%,
(LIBOR
1M
+
2.750%),
9/24/2025
b,c,d,e
1,121,525
Gray
Television,
Inc.,
Term
Loan
450,000
2.405%,
(LIBOR
1M
+
2.250%),
2/7/2024
b
439,794
HCP
Acquisition,
LLC,
Term
Loan
986,956
4.000%,
(LIBOR
1M
+
3.000%),
5/16/2024
b
979,761
iHeartCommunications,
Inc.,
Term
Loan
572,118
3.147%,
(LIBOR
1M
+
3.000%),
5/1/2026
b
541,635
Mediacom
Illinois,
LLC,
Term
Loan
203,373
1.860%,
(LIBOR
1W
+
1.750%),
2/15/2024
b
201,339
NEP
Group,
Inc.,
Term
Loan
987,475
3.397%,
(LIBOR
1M
+
3.250%),
10/20/2025
b
846,513
Nexstar
Broadcasting,
Inc.,
Term
Loan
1,235,000
2.905%,
(LIBOR
1M
+
2.750%),
9/19/2026
b
1,206,187
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
48
Principal
Amount
Bank
Loans
(11.9%)
a
Value
Communications
Services
(3.2%)
-
continued
Nielsen
Finance,
LLC,
Term
Loan
$
403,987
4.750%,
(LIBOR
1M
+
3.750%),
6/4/2025
b
$
403,180
Radiate
Holdco,
LLC,
Term
Loan
1,695,000
0.000%,
(LIBOR
1M
+
3.500%),
9/11/2026
b,d,e
1,663,219
SBA
Senior
Finance
II,
LLC,
Term
Loan
772,390
1.900%,
(LIBOR
1M
+
1.750%),
4/11/2025
b
751,412
Terrier
Media
Buyer,
Inc.,
Term
Loan
600,462
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
584,808
324,188
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
314,867
T-Mobile
USA,
Inc.,
Term
Loan
1,236,900
3.147%,
(LIBOR
1M
+
3.000%),
4/1/2027
b
1,235,020
TNS,
Inc.,
Term
Loan
752,073
4.150%,
(LIBOR
1M
+
4.000%),
8/14/2022
b
745,492
Virgin
Media
Bristol,
LLC,
Term
Loan
1,625,000
2.652%,
(LIBOR
1M
+
2.500%),
1/31/2028
b
1,574,901
WideOpenWest
Finance,
LLC,
Term
Loan
1,232,323
4.250%,
(LIBOR
1M
+
3.250%),
8/19/2023
b
1,211,718
Windstream
Services,
LLC,
Term
Loan
282,830
0.000%,
(PRIME
+
5.000%),
3/30/2021
b,f
170,264
Xplornet
Communications,
Inc.,
Term
Loan
289,275
4.897%,
(LIBOR
1M
+
4.750%),
6/11/2027
b
283,310
Ziggo
Financing
Partnership,
Term
Loan
1,090,000
2.652%,
(LIBOR
1M
+
2.500%),
4/30/2028
b
1,047,152
Total
25,781,956
Consumer
Cyclical
(1.7%)
1011778
B.C.,
LLC,
Term
Loan
1,746,800
1.897%,
(LIBOR
1M
+
1.750%),
11/19/2026
b
1,671,827
Boyd
Gaming
Corporation,
Term
Loan
251,248
2.356%,
(LIBOR
1W
+
2.250%),
9/15/2023
b
243,990
Caesars
Resort
Collection,
LLC,
Term
Loan
950,000
0.000%,
(LIBOR
1M
+
4.500%),
7/20/2025
b,d,e
918,071
Cengage
Learning,
Inc.,
Term
Loan
472,451
5.250%,
(LIBOR
3M
+
4.250%),
6/7/2023
b
393,821
Four
Seasons
Hotels,
Ltd.,
Term
Loan
763,195
2.147%,
(LIBOR
1M
+
2.000%),
11/30/2023
b
741,253
Principal
Amount
Bank
Loans
(11.9%)
a
Value
Consumer
Cyclical
(1.7%)
-
continued
Golden
Entertainment,
Inc.,
Term
Loan
$
1,375,125
3.750%,
(LIBOR
1M
+
3.000%),
10/20/2024
b
$
1,314,963
Golden
Nugget,
LLC,
Term
Loan
708,632
3.250%,
(LIBOR
2M
+
2.500%),
10/4/2023
b
629,932
IAA,
Inc.,
Term
Loan
304,763
2.438%,
(LIBOR
1M
+
2.250%),
6/28/2026
b,c
299,429
LCPR
Loan
Financing,
LLC,
Term
Loan
1,550,000
5.152%,
(LIBOR
1M
+
5.000%),
10/15/2026
b
1,546,776
Men's
Warehouse,
Inc.,
Term
Loan
597,487
4.250%,
(LIBOR
1M
+
3.250%),
4/9/2025
b,g
179,246
Michaels
Stores,
Inc.,
Term
Loan
680,000
0.000%,
(LIBOR
1M
+
3.500%),
9/17/2027
b,c,d,e
663,000
Scientific
Games
International,
Inc.,
Term
Loan
2,508,476
3.471%,
(LIBOR
1M
+
2.750%),
8/14/2024
b
2,354,481
Staples,
Inc.,
Term
Loan
266,924
4.751%,
(LIBOR
3M
+
4.500%),
9/12/2024
b
250,463
682,816
5.251%,
(LIBOR
3M
+
5.000%),
4/12/2026
b
633,523
Stars
Group
Holdings
BV,
Term
Loan
708,489
3.720%,
(LIBOR
3M
+
3.500%),
7/10/2025
b
706,081
Tenneco,
Inc.,
Term
Loan
451,950
3.147%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
406,475
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
524,300
1.897%,
(LIBOR
1M
+
1.750%),
5/30/2025
b
504,801
Total
13,458,132
Consumer
Non-Cyclical
(2.1%)
Bausch
Health
Americas,
Inc.,
Term
Loan
1,533,566
3.151%,
(LIBOR
1M
+
3.000%),
6/1/2025
b
1,501,300
Bellring
Brands,
LLC,
Term
Loan
292,405
6.000%,
(LIBOR
1M
+
5.000%),
10/21/2024
b
292,528
Change
Healthcare
Holdings,
LLC,
Term
Loan
587,188
3.500%,
(LIBOR
1M
+
2.500%),
3/1/2024
b
574,070
Chobani,
LLC,
Term
Loan
738,500
4.500%,
(LIBOR
1M
+
3.500%),
10/10/2023
b
729,269
Dole
Food
Company,
Inc.,
Term
Loan
984,311
3.750%,
(LIBOR
1M
+
2.750%),
4/6/2024
b,d,e
968,522
Elanco
Animal
Health,
Inc.,
Term
Loan
268,567
1.905%,
(LIBOR
1M
+
1.750%),
8/1/2027
b
260,733
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
49
Principal
Amount
Bank
Loans
(11.9%)
a
Value
Consumer
Non-Cyclical
(2.1%)
-
continued
Endo
International
plc,
Term
Loan
$
787,526
5.000%,
(LIBOR
3M
+
4.250%),
4/27/2024
b
$
748,150
Global
Medical
Response,
Inc.,
Term
Loan
2,184,000
4.250%,
(LIBOR
3M
+
3.250%),
4/28/2022
b
2,176,159
238,263
5.250%,
(LIBOR
3M
+
4.250%),
3/14/2025
b
230,321
2,170,000
0.000%,
(LIBOR
1M
+
4.750%),
9/24/2025
b,d,e
2,119,135
Grifols
Worldwide
Operations
USA,
Inc.,
Term
Loan
724,525
2.100%,
(LIBOR
1W
+
2.000%),
11/15/2027
b
708,680
IQVIA,
Inc.,
Term
Loan
203,949
1.897%,
(LIBOR
1M
+
1.750%),
1/1/2025
b
200,932
JBS
USA
LUX
SA,
Term
Loan
1,217,638
2.147%,
(LIBOR
1M
+
2.000%),
5/1/2026
b
1,182,936
Libbey
Glass,
Inc.,
Term
Loan
266,865
0.000%,PIK
5.750%,
(LIBOR
1M
+
5.000%),
4/9/2021
b,g,h
41,810
MPH
Acquisition
Holdings,
LLC,
Term
Loan
2,003,523
3.750%,
(LIBOR
3M
+
2.750%),
6/7/2023
b
1,969,182
Ortho-Clinical
Diagnostics
SA,
Term
Loan
1,858,942
3.406%,
(LIBOR
1M
+
3.250%),
6/30/2025
b
1,776,219
Plantronics,
Inc.,
Term
Loan
404,757
2.647%,
(LIBOR
1M
+
2.500%),
7/2/2025
b
379,290
R.R.
Donnelley
&
Sons
Company,
Term
Loan
138,241
5.147%,
(LIBOR
1M
+
5.000%),
1/15/2024
b
131,675
Sotera
Health
Holdings,
LLC,
Term
Loan
646,750
5.500%,
(LIBOR
3M
+
4.500%),
12/13/2026
b
643,516
US
Foods,
Inc.,
Term
Loan
198,961
1.897%,
(LIBOR
1M
+
1.750%),
6/27/2023
b
191,003
Total
16,825,430
Energy
(0.4%)
BCP
Raptor
II,
LLC,
Term
Loan
557,938
4.897%,
(LIBOR
1M
+
4.750%),
11/3/2025
b
388,698
Buckeye
Partners,
LP,
Term
Loan
547,250
2.897%,
(LIBOR
1M
+
2.750%),
11/1/2026
b,d,e
536,305
Calpine
Corporation,
Term
Loan
780,294
2.400%,
(LIBOR
1M
+
2.250%),
1/15/2024
b
758,282
CONSOL
Energy,
Inc.,
Term
Loan
591,000
4.650%,
(LIBOR
1M
+
4.500%),
9/28/2024
b
471,322
Illuminate
Buyer,
LLC,
Term
Loan
555,000
4.147%,
(LIBOR
1M
+
4.000%),
6/30/2027
b
549,800
Principal
Amount
Bank
Loans
(11.9%)
a
Value
Energy
(0.4%)
-
continued
Lealand
Finance
Company
BV,
Term
Loan
$
206,839
0.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b
$
154,441
Total
2,858,848
Financials
(1.1%)
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
512,088
2.500%,
(LIBOR
1M
+
1.750%),
1/15/2025
b
497,079
Blackstone
CQP
Holdco,
LP,
Term
Loan
291,313
3.725%,
(LIBOR
3M
+
3.500%),
9/30/2024
b
284,685
BPR
Nimbus,
LLC,
Term
Loan
935,427
2.647%,
(LIBOR
1M
+
2.500%),
8/24/2025
b
755,694
Delos
Finance
SARL,
Term
Loan
250,000
1.970%,
(LIBOR
3M
+
1.750%),
10/6/2023
b
243,875
INEOS
U.S.
Finance,
LLC,
Term
Loan
198,977
2.147%,
(LIBOR
1M
+
2.000%),
3/31/2024
b
192,952
Level
3
Financing,
Inc.,
Term
Loan
1,030,000
1.897%,
(LIBOR
1M
+
1.750%),
3/1/2027
b
996,844
MoneyGram
International,
Inc.,
Term
Loan
555,578
7.000%,
(LIBOR
3M
+
6.000%),
6/30/2023
b
540,994
NCR
Corporation,
Term
Loan
841,500
2.650%,
(LIBOR
1M
+
2.500%),
8/28/2026
b
819,057
Newco
Financing
Partnership,
Term
Loan
770,000
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
746,130
Northriver
Midstream
Finance,
LP,
Term
Loan
831,515
3.546%,
(LIBOR
3M
+
3.250%),
10/1/2025
b
802,279
Tronox
Finance,
LLC,
Term
Loan
1,734,763
3.177%,
(LIBOR
3M
+
3.000%),
9/22/2024
b
1,705,029
UPC
Financing
Partnership,
Term
Loan
770,000
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
746,130
Vericast
Corporation,
Term
Loan
254,072
5.750%,
(LIBOR
3M
+
4.750%),
11/3/2023
b,d,e
207,039
Total
8,537,787
Technology
(1.1%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
1,484,275
3.761%,
(LIBOR
3M
+
3.500%),
8/21/2026
b,d,e
1,347,351
Prime
Security
Services
Borrower,
LLC,
Term
Loan
2,356,200
4.250%,
(LIBOR
1M
+
3.250%),
9/23/2026
b
2,332,214
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
50
Principal
Amount
Bank
Loans
(11.9%)
a
Value
Technology
(1.1%)
-
continued
Rackspace
Technology
Global,
Inc.,
Term
Loan
$
2,063,882
4.000%,
(LIBOR
3M
+
3.000%),
11/3/2023
b
$
2,022,356
SS&C
Technologies,
Inc.,
Term
Loan
911,465
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
881,086
636,667
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
615,447
Zayo
Group
Holdings,
Inc.,
Term
Loan
1,582,050
3.147%,
(LIBOR
1M
+
3.000%),
3/9/2027
b
1,533,181
Total
8,731,635
Transportation
(0.3%)
Genesee
&
Wyoming,
Inc.,
Term
Loan
990,025
2.220%,
(LIBOR
3M
+
2.000%),
12/30/2026
b
972,858
SkyMiles
IP,
Ltd.,
Term
Loan
570,000
0.000%,
(LIBOR
1M
+
3.750%),
10/20/2027
b,d,e
573,768
United
Airlines,
Inc.,
Term
Loan
739,255
1.895%,
(LIBOR
1M
+
1.750%),
4/1/2024
b
695,513
Total
2,242,139
Utilities
(0.3%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
105,327
2.438%,
(LIBOR
1M
+
2.250%),
9/24/2026
b
104,976
Core
and
Main,
LP,
Term
Loan
627,262
3.750%,
(LIBOR
3M
+
2.750%),
8/1/2024
b
613,343
EnergySolutions,
LLC,
Term
Loan
425,212
4.750%,
(LIBOR
3M
+
3.750%),
5/11/2025
b
405,015
Pacific
Gas
&
Electric
Company,
Term
Loan
1,231,913
5.500%,
(LIBOR
1M
+
4.500%),
1/1/2022
b
1,205,217
Talen
Energy
Supply,
LLC,
Term
Loan
342,000
3.897%,
(LIBOR
1M
+
3.750%),
7/8/2026
b
337,154
Total
2,665,705
Total
Bank
Loans
(cost
$98,715,247)
94,884,314
Principal
Amount
Long-Term
Fixed
Income
(
50.1%
)
Value
Asset-Backed
Securities
(3.9%)
522
Funding
CLO,
Ltd.
950,000
4.098%,
(LIBOR
3M
+
3.850%),
10/23/2033,
Ser.
2020-6A,
Class
D
b,e,i
950,000
Apidos
CLO
XXIV
1,570,000
1.722%,
(LIBOR
3M
+
1.450%),
10/20/2030,
Ser.
2016-24A,
Class
A1BR
b,i
1,547,378
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Asset-Backed
Securities
(3.9%)
-
continued
Babson
CLO,
Ltd.
$
1,200,000
3.172%,
(LIBOR
3M
+
2.900%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,i
$
1,071,696
Benefit
Street
Partners
CLO
IV,
Ltd.
1,000,000
2.022%,
(LIBOR
3M
+
1.750%),
1/20/2029,
Ser.
2014-IVA,
Class
A2RR
b,i
995,344
Business
Jet
Securities,
LLC
1,163,635
4.447%,
6/15/2033,
Ser.
2018-2,
Class
A
i
1,163,424
Cent
CLO,
LP
2,950,000
2.545%,
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,i
2,884,168
Foundation
Finance
Trust
339,599
3.300%,
7/15/2033,
Ser.
2017-1A,
Class
A
i
345,318
Harley
Marine
Financing,
LLC
1,248,038
5.682%,
5/15/2043,
Ser.
2018-1A,
Class
A2
i
1,118,819
Madison
Park
Funding
XIV,
Ltd.
1,450,000
1.658%,
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,i
1,419,550
Myers
Park
CLO,
Ltd.
1,425,000
1.672%,
(LIBOR
3M
+
1.400%),
10/20/2030,
Ser.
2018-1A,
Class
A2
b,i
1,412,282
OHA
Credit
Funding
1,
Ltd.
1,215,000
1.722%,
(LIBOR
3M
+
1.450%),
10/20/2030,
Ser.
2018-1A,
Class
A2
b,i
1,202,779
OZLM
Funding
II,
Ltd.
2,435,000
1.768%,
(LIBOR
3M
+
1.500%),
7/30/2031,
Ser.
2012-2A,
Class
A1BR
b,i
2,394,664
OZLM
IX,
Ltd.
1,875,000
1.822%,
(LIBOR
3M
+
1.550%),
10/20/2031,
Ser.
2014-9A,
Class
A1BR
b,i
1,858,691
Palmer
Square
Loan
Funding,
Ltd.
1,000,000
2.522%,
(LIBOR
3M
+
2.250%),
4/20/2027,
Ser.
2019-1A,
Class
B
b,i
1,000,043
Park
Avenue
Institutional
Advisers
CLO,
Ltd.
2,400,000
1.772%,
(LIBOR
3M
+
1.500%),
10/20/2031,
Ser.
2018-1A,
Class
A1B
b,i
2,377,366
Pretium
Mortgage
Credit
Partners,
LLC
1,907,336
3.721%,
1/25/2059,
Ser.
2019-CFL1,
Class
A1
i,j
1,903,514
Riserva
CLO,
Ltd.
1,200,000
1.972%,
(LIBOR
3M
+
1.700%),
10/18/2028,
Ser.
2016-3A,
Class
BR
b,i
1,189,639
Saxon
Asset
Securities
Trust
184,048
3.639%,
8/25/2035,
Ser.
2004-2,
Class
MF2
b
185,890
Sound
Point
CLO
X,
Ltd.
1,150,000
2.972%,
(LIBOR
3M
+
2.700%),
1/20/2028,
Ser.
2015-3A,
Class
DR
b,i
1,099,743
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
51
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Asset-Backed
Securities
(3.9%)
-
continued
Sound
Point
CLO
XXI,
Ltd.
$
2,400,000
1.695%,
(LIBOR
3M
+
1.450%),
10/26/2031,
Ser.
2018-3A,
Class
A1B
b,i
$
2,308,226
THL
Credit
Wind
River
CLO,
Ltd.
1,250,000
3.125%,
(LIBOR
3M
+
2.850%),
7/15/2028,
Ser.
2016-1A,
Class
DR
b,i
1,177,609
Vericrest
Opportunity
Loan
Transferee
1,609,515
3.352%,
9/25/2049,
Ser.
2019-NPL5,
Class
A1A
i,j
1,611,346
Total
31,217,489
Basic
Materials
(0.9%)
Air
Products
and
Chemicals,
Inc.
55,000
1.500%,
10/15/2025
57,042
Alcoa
Nederland
Holding
BV
370,000
5.500%,
12/15/2027
i
385,614
BWAY
Holding
Company
380,000
5.500%,
4/15/2024
i
381,345
Cleveland-Cliffs,
Inc.
260,000
5.750%,
3/1/2025
k
241,800
220,000
9.875%,
10/17/2025
i
245,575
EI
du
Pont
de
Nemours
&
Company
111,000
1.700%,
7/15/2025
115,104
First
Quantum
Minerals,
Ltd.
460,000
7.500%,
4/1/2025
i
454,991
Freeport-McMoRan,
Inc.
360,000
4.125%,
3/1/2028
364,500
390,000
4.250%,
3/1/2030
399,750
Kinross
Gold
Corporation
108,000
5.125%,
9/1/2021
111,127
Krayton
Polymers,
LLC
480,000
7.000%,
4/15/2025
i
489,600
Methanex
Corporation
530,000
5.250%,
12/15/2029
524,038
Mosaic
Company
55,000
3.250%,
11/15/2022
57,477
Norbord,
Inc.
520,000
5.750%,
7/15/2027
i
549,276
Novelis
Corporation
580,000
5.875%,
9/30/2026
i
595,950
160,000
4.750%,
1/30/2030
i
156,155
Nucor
Corporation
56,000
2.000%,
6/1/2025
58,478
OCI
NV
420,000
4.625%,
10/15/2025
e,i
420,000
Olin
Corporation
600,000
5.125%,
9/15/2027
k
594,000
Peabody
Securities
Finance
Corporation
455,000
6.375%,
3/31/2025
i
182,000
Steel
Dynamics,
Inc.
67,000
2.400%,
6/15/2025
69,891
Syngenta
Finance
NV
200,000
3.933%,
4/23/2021
i
202,579
Tronox
Finance
plc
550,000
5.750%,
10/1/2025
i
541,750
Xstrata
Finance
Canada,
Ltd.
163,000
4.950%,
11/15/2021
i
170,154
Total
7,368,196
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Capital
Goods
(1.8%)
AECOM
$
1,105,000
5.125%,
3/15/2027
$
1,193,533
Amsted
Industries,
Inc.
665,000
5.625%,
7/1/2027
i
707,440
Ardagh
Packaging
Finance
plc
259,000
6.000%,
2/15/2025
i
268,920
400,000
5.250%,
8/15/2027
i
407,600
Berry
Global,
Inc.
330,000
4.875%,
7/15/2026
i
346,087
Caterpillar
Financial
Services
Corporation
164,000
1.900%,
9/6/2022
168,623
171,000
1.950%,
11/18/2022
176,604
111,000
1.450%,
5/15/2025
114,642
Chart
Industries,
Inc.,
Convertible
232,000
1.000%,
11/15/2024
i
321,546
Cintas
Corporation
No.
2
162,000
2.900%,
4/1/2022
167,569
CNH
Industrial
Capital,
LLC
165,000
4.875%,
4/1/2021
168,184
67,000
1.950%,
7/2/2023
68,087
Covanta
Holding
Corporation
470,000
6.000%,
1/1/2027
488,800
95,000
5.000%,
9/1/2030
95,883
Crown
Americas
Capital
Corporation
IV
380,000
4.500%,
1/15/2023
394,250
Crown
Cork
&
Seal
Company,
Inc.
410,000
7.375%,
12/15/2026
487,441
General
Electric
Company
745,000
5.000%,
1/21/2021
b,l
593,589
Greenbrier
Companies,
Inc.,
Convertible
89,000
2.875%,
2/1/2024
81,412
H&E
Equipment
Services,
Inc.
570,000
5.625%,
9/1/2025
594,225
Honeywell
International,
Inc.
111,000
1.350%,
6/1/2025
114,386
Huntington
Ingalls
Industries,
Inc.
111,000
3.844%,
5/1/2025
i
121,942
Jeld-Wen,
Inc.
340,000
4.625%,
12/15/2025
i
341,700
John
Deere
Capital
Corporation
169,000
1.200%,
4/6/2023
172,303
171,000
2.050%,
1/9/2025
k
181,192
KBR,
Inc.,
Convertible
456,000
2.500%,
11/1/2023
514,140
L3Harris
Technologies,
Inc.
280,000
4.950%,
2/15/2021
281,525
Otis
Worldwide
Corporation
172,000
2.056%,
4/5/2025
180,662
PACCAR
Financial
Corporation
114,000
2.650%,
4/6/2023
120,168
Parker-Hannifin
Corporation
225,000
2.700%,
6/14/2024
240,851
Patrick
Industries,
Inc.,
Convertible
149,000
1.000%,
2/1/2023
146,575
Raytheon
Technologies
Corporation
112,000
2.800%,
3/15/2022
i
115,470
Republic
Services,
Inc.
105,000
2.500%,
8/15/2024
111,744
Reynolds
Group
Issuer,
Inc.
1,125,000
5.125%,
7/15/2023
i
1,139,062
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
52
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Capital
Goods
(1.8%)
-
continued
Roper
Technologies,
Inc.
$
117,000
2.350%,
9/15/2024
$
123,727
111,000
1.000%,
9/15/2025
111,279
Standard
Industries,
Inc.
690,000
4.375%,
7/15/2030
i
707,433
TransDigm,
Inc.
220,000
6.250%,
3/15/2026
i
230,681
770,000
5.500%,
11/15/2027
740,009
TTM
Technologies,
Inc.,
Convertible
155,000
1.750%,
12/15/2020
183,186
United
Rentals
North
America,
Inc.
1,010,000
4.000%,
7/15/2030
1,032,725
United
Technologies
Corporation
237,000
3.950%,
8/16/2025
269,426
WESCO
Distribution,
Inc.
330,000
7.250%,
6/15/2028
i
361,573
WW
Grainger,
Inc.
115,000
1.850%,
2/15/2025
120,433
Total
14,506,627
Collateralized
Mortgage
Obligations
(9.2%)
Alternative
Loan
Trust
516,045
6.000%,
8/1/2036,
Ser.
2006-24CB,
Class
A9
417,702
Antler
Mortgage
Trust
1,186,977
4.458%,
6/27/2022,
Ser.
2019-RTL1,
Class
A1
i
1,190,201
2,086,813
4.335%,
7/25/2022,
Ser.
2018-RTL1,
Class
A1
i
2,091,227
Banc
of
America
Alternative
Loan
Trust
794,365
6.000%,
11/25/2035,
Ser.
2005-10,
Class
3CB1
758,943
Banc
of
America
Mortgage
Securities
Trust
752,668
3.373%,
9/25/2035,
Ser.
2005-H,
Class
3A1
b
704,617
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
47,900
2.410%,
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
b
48,077
Bellemeade
Re,
Ltd.
896,075
1.748%,
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,i
887,258
700,000
2.798%,
(LIBOR
1M
+
2.650%),
6/25/2030,
Ser.
2020-1A,
Class
M1A
b,i
701,439
900,000
3.548%,
(LIBOR
1M
+
3.400%),
6/25/2030,
Ser.
2020-1A,
Class
M1B
b,i
912,269
900,000
2.448%,
(LIBOR
1M
+
2.300%),
8/26/2030,
Ser.
2020-2A,
Class
M1A
b,i
901,050
Cascade
Funding
Mortgage
Trust
877,448
4.580%,
6/25/2048,
Ser.
2018-RM1,
Class
A1
i
880,396
1,401,740
4.000%,
10/25/2068,
Ser.
2018-RM2,
Class
A
b,i
1,453,813
CHL
Mortgage
Pass-Through
Trust
972,167
3.400%,
11/20/2035,
Ser.
2005-HYB7,
Class
6A1
b
825,037
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Collateralized
Mortgage
Obligations
(9.2%)
-
continued
$
372,273
3.454%,
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
$
368,586
1,263,405
6.000%,
11/25/2037,
Ser.
2007-18,
Class
1A2
1,010,001
CIM
Trust
718,384
5.000%,
12/25/2057,
Ser.
2018-R3,
Class
A1
b,i
757,215
Citigroup
Mortgage
Loan
Trust,
Inc.
149,383
5.500%,
11/25/2035,
Ser.
2005-9,
Class
21A2
152,988
220,176
3.736%,
3/25/2037,
Ser.
2007-AR4,
Class
2A1A
b
190,351
1,262,334
3.958%,
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
1,222,618
Countrywide
Alternative
Loan
Trust
586,049
5.000%,
3/25/2035,
Ser.
2005-3CB,
Class
1A1
581,918
253,027
3.201%,
10/25/2035,
Ser.
2005-43,
Class
4A1
b
240,660
265,170
3.547%,
10/25/2035,
Ser.
2005-43,
Class
1A1
b
253,146
311,137
5.500%,
2/25/2036,
Ser.
2005-85CB,
Class
2A2
301,719
236,375
6.000%,
4/25/2036,
Ser.
2006-4CB,
Class
1A1
165,655
904,753
6.500%,
8/25/2036,
Ser.
2006-23CB,
Class
2A3
506,290
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
418,196
3.457%,
11/25/2035,
Ser.
2005-22,
Class
2A1
b
387,337
Credit
Suisse
Mortgage
Capital
Certificates
438,579
3.393%,
2/25/2024,
Ser.
2020-BPL1,
Class
A1
i,j
438,765
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
850,056
5.250%,
6/25/2035,
Ser.
2005-3,
Class
4A6
872,521
Eagle
Re,
Ltd.
812,112
1.948%,
(LIBOR
1M
+
1.800%),
4/25/2029,
Ser.
2019-1,
Class
M1B
b,i
806,761
Federal
Home
Loan
Mortgage
Corporation
2,699,209
3.500%,
8/15/2035,
Ser.
345,
Class
C8
m
291,662
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
925,429
2.500%,
12/15/2022,
Ser.
4155,
Class
AI
m
18,177
664,024
2.500%,
5/15/2027,
Ser.
4106,
Class
HI
m
30,522
2,265,679
3.000%,
5/15/2027,
Ser.
4046,
Class
GI
m
128,563
1,730,863
3.000%,
7/15/2027,
Ser.
4084,
Class
NI
m
110,884
2,603,659
3.000%,
7/15/2027,
Ser.
4074,
Class
IO
m
167,510
845,648
2.500%,
2/15/2028,
Ser.
4162,
Class
AI
m
46,421
1,863,445
2.500%,
2/15/2028,
Ser.
4161,
Class
UI
m
103,627
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
53
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Collateralized
Mortgage
Obligations
(9.2%)
-
continued
$
2,637,034
2.500%,
3/15/2028,
Ser.
4177,
Class
EI
m
$
147,577
2,622,912
3.500%,
10/15/2032,
Ser.
4119,
Class
KI
m
319,281
1,366,386
3.000%,
2/15/2033,
Ser.
4170,
Class
IG
m
131,061
2,859,805
3.000%,
4/15/2033,
Ser.
4203,
Class
DI
m
213,919
Federal
National
Mortgage
Association
-
REMIC
3,712,374
3.000%,
7/25/2027,
Ser.
2012-73,
Class
DI
m
207,328
2,402,391
3.000%,
7/25/2027,
Ser.
2012-74,
Class
AI
m
120,661
4,620,815
3.000%,
8/25/2027,
Ser.
2012-95,
Class
HI
m
228,669
2,354,667
3.500%,
9/25/2027,
Ser.
2012-98,
Class
YI
m
160,163
6,218,075
3.000%,
11/25/2027,
Ser.
2012-121,
Class
BI
m
394,445
3,197,476
3.000%,
12/25/2027,
Ser.
2012-139,
Class
DI
m
171,909
1,663,026
2.500%,
1/25/2028,
Ser.
2012-152,
Class
AI
m
90,171
4,299,298
3.000%,
1/25/2028,
Ser.
2012-147,
Class
EI
m
236,611
1,273,746
2.500%,
2/25/2028,
Ser.
2013-46,
Class
CI
m
59,203
2,259,175
3.000%,
2/25/2028,
Ser.
2013-2,
Class
GI
m
140,130
823,482
3.000%,
4/25/2028,
Ser.
2013-30,
Class
DI
m
53,922
3,079,516
3.000%,
11/25/2031,
Ser.
2013-69,
Class
IO
m
151,524
1,827,660
3.000%,
2/25/2033,
Ser.
2013-1,
Class
YI
m
198,114
First
Horizon
Alternative
Mortgage
Securities
Trust
260,562
3.337%,
3/25/2035,
Ser.
2005-AA2,
Class
1A1
b
240,128
271,687
3.202%,
7/25/2035,
Ser.
2005-AA5,
Class
2A1
b
265,949
First
Horizon
Mortgage
Pass-
Through
Trust
213,529
3.827%,
8/25/2037,
Ser.
2007-AR2,
Class
1A2
b
141,746
Genworth
Mortgage
Insurance
Corporation
700,000
2.048%,
(LIBOR
1M
+
1.900%),
11/26/2029,
Ser.
2019-1,
Class
M1
b,i
685,574
GMAC
Mortgage
Corporation
Loan
Trust
529,413
3.668%,
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
505,942
Government
National
Mortgage
Association
743,202
4.000%,
1/16/2027,
Ser.
2012-3,
Class
IO
m
49,873
Greenpoint
Mortgage
Funding
Trust
380,919
0.348%,
(LIBOR
1M
+
0.200%),
10/25/2045,
Ser.
2005-AR4,
Class
G41B
b
335,412
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Collateralized
Mortgage
Obligations
(9.2%)
-
continued
IndyMac
IMJA
Mortgage
Loan
Trust
$
675,384
6.250%,
11/25/2037,
Ser.
2007-A3,
Class
A1
$
446,297
IndyMac
INDX
Mortgage
Loan
Trust
1,996,019
0.358%,
(LIBOR
1M
+
0.210%),
4/25/2046,
Ser.
2006-AR2,
Class
1A1B
b
1,807,832
J.P.
Morgan
Alternative
Loan
Trust
596,552
6.500%,
3/25/2036,
Ser.
2006-S1,
Class
1A19
484,259
J.P.
Morgan
Mortgage
Trust
111,901
6.500%,
1/25/2035,
Ser.
2005-S1,
Class
1A2
127,415
463,589
3.868%,
2/25/2036,
Ser.
2006-A1,
Class
2A2
b
405,388
Legacy
Mortgage
Asset
Trust
1,495,361
4.000%,
1/25/2059,
Ser.
2019-GS1,
Class
A1
i
1,521,271
1,355,465
3.250%,
2/25/2060,
Ser.
2020-GS4,
Class
A1
i,j
1,374,924
Lehman
Mortgage
Trust
204,504
0.898%,
(LIBOR
1M
+
0.750%),
12/25/2035,
Ser.
2005-2,
Class
3A1
b
126,716
Master
Asset
Securitization
Trust
727,499
0.648%,
(LIBOR
1M
+
0.500%),
6/25/2036,
Ser.
2006-2,
Class
2A2
b
181,510
MASTR
Alternative
Loans
Trust
253,860
0.598%,
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
b
43,029
Merrill
Lynch
Alternative
Note
Asset
Trust
339,032
6.000%,
3/25/2037,
Ser.
2007-F1,
Class
2A1
225,324
Merrill
Lynch
Mortgage
Investors
Trust
776,400
3.536%,
6/25/2035,
Ser.
2005-A5,
Class
M1
b
422,632
MFA
NQM1
Trust
774,981
2.300%,
8/25/2049,
Ser.
2020-NQM1,
Class
A3
b,i
778,830
New
Residential
Mortgage
Loan
Trust
484,772
4.335%,
7/25/2060,
Ser.
2020-NPL1,
Class
A1
i,j
485,352
Oaktown
Re
II,
Ltd.
413,106
1.698%,
(LIBOR
1M
+
1.550%),
7/25/2028,
Ser.
2018-1A,
Class
M1
b,i
411,881
Preston
Ridge
Partners
Mortgage
Trust,
LLC
331,691
4.500%,
1/25/2024,
Ser.
2019-1A,
Class
A1
i,j
334,232
1,347,884
3.967%,
4/25/2024,
Ser.
2019-2A,
Class
A1
i,j
1,359,128
1,429,355
3.500%,
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,i
1,431,208
1,061,188
4.750%,
10/25/2024,
Ser.
2019-GS1,
Class
A2
b,i
1,056,958
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
54
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Collateralized
Mortgage
Obligations
(9.2%)
-
continued
$
493,099
3.351%,
11/25/2024,
Ser.
2019-4A,
Class
A1
i,j
$
494,309
737,878
3.671%,
8/25/2025,
Ser.
2020-2,
Class
A1
i,j
737,935
Pretium
Mortgage
Credit
Partners,
LLC
873,504
2.858%,
5/27/2059,
Ser.
2020-NPL1,
Class
A1
i,j
866,810
Radnor
RE,
Ltd.
103,037
1.548%,
(LIBOR
1M
+
1.400%),
3/25/2028,
Ser.
2018-1,
Class
M1
b,i
102,848
1,700,000
2.848%,
(LIBOR
1M
+
2.700%),
3/25/2028,
Ser.
2018-1,
Class
M2
b,i
1,619,402
RCO
Mortgage,
LLC
817,355
3.475%,
11/25/2024,
Ser.
2019-2,
Class
A1
i,j
815,467
745,914
3.197%,
11/25/2052,
Ser.
2017-INV1,
Class
A
b,i
756,129
Renaissance
Home
Equity
Loan
Trust
1,163,589
5.797%,
8/25/2036,
Ser.
2006-2,
Class
AF3
j
673,802
Residential
Accredit
Loans,
Inc.
Trust
604,778
6.000%,
8/25/2035,
Ser.
2005-QS10,
Class
2A
605,336
275,502
5.750%,
9/25/2035,
Ser.
2005-QS13,
Class
2A3
275,296
351,253
6.000%,
1/25/2037,
Ser.
2007-QS1,
Class
1A1
341,312
589,319
5.750%,
4/25/2037,
Ser.
2007-QS6,
Class
A28
561,613
361,118
6.250%,
4/25/2037,
Ser.
2007-QS6,
Class
A6
353,763
160,881
6.000%,
6/25/2037,
Ser.
2007-QS8,
Class
A10
156,017
Residential
Asset
Securitization
Trust
450,399
6.222%,
8/25/2022,
Ser.
2007-A8,
Class
3A1
b
329,622
488,056
2.756%,
1/25/2034,
Ser.
2004-IP1,
Class
A1
b
484,204
1,230,851
5.500%,
4/25/2035,
Ser.
2005-A1,
Class
A3
1,286,764
Residential
Funding
Mortgage
Security
I
Trust
789,552
6.000%,
7/25/2037,
Ser.
2007-S7,
Class
A20
739,598
Sequoia
Mortgage
Trust
704,222
3.426%,
9/20/2046,
Ser.
2007-1,
Class
4A1
b
543,942
Silver
Hill
Trust
1,013,738
3.102%,
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,i
1,030,260
Stanwich
Mortgage
Loan
Trust
584,879
3.475%,
11/16/2024,
Ser.
2019-NPB2,
Class
A1
i,j
580,251
Starwood
Mortgage
Residential
Trust
1,049,459
4.121%,
10/25/2048,
Ser.
2018-IMC2,
Class
A1
b,i
1,085,508
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Collateralized
Mortgage
Obligations
(9.2%)
-
continued
$
1,175,000
3.970%,
4/25/2060,
Ser.
2020-2,
Class
A2
b,i
$
1,215,902
Structured
Adjustable
Rate
Mortgage
Loan
Trust
245,863
3.201%,
7/25/2035,
Ser.
2005-15,
Class
4A1
b
221,259
160,966
3.678%,
9/25/2035,
Ser.
2005-18,
Class
1A1
b
129,481
Structured
Asset
Mortgage
Investments,
Inc.
572,761
0.458%,
(LIBOR
1M
+
0.310%),
12/25/2035,
Ser.
2005-AR4,
Class
A1
b
532,003
Toorak
Mortgage
Corporation
1,598,299
4.336%,
8/25/2021,
Ser.
2018-1,
Class
A1
i,j
1,607,275
2,000,000
4.458%,
3/25/2022,
Ser.
2019-1,
Class
A1
i,j
2,046,318
1,250,000
2.734%,
3/25/2023,
Ser.
2020-1,
Class
A1
i,j
1,254,396
Vericrest
Opportunity
Loan
Transferee
1,018,131
2.981%,
3/25/2050,
Ser.
2020-NPL4,
Class
A1
i,j
1,015,986
1,750,000
3.475%,
3/25/2050,
Ser.
2020-NPL5,
Class
A1B
i,j
1,703,557
693,403
3.352%,
8/25/2049,
Ser.
2019-NPL4,
Class
A1A
i,j
694,093
3,600,000
4.090%,
11/25/2049,
Ser.
2019-NPL8,
Class
A1B
i,j
3,547,976
2,200,000
4.090%,
11/26/2049,
Ser.
2019-NPL9,
Class
A1B
i,j
2,178,596
296,632
3.426%,
12/27/2049,
Ser.
2019-NP10,
Class
A1A
i,j
296,740
Verus
Securitization
Trust
1,016,809
3.345%,
5/25/2059,
Ser.
2019-2,
Class
A2
b,i
1,036,564
WaMu
Mortgage
Pass
Through
Certificates
697,346
2.051%,
(12
MTA
+
0.880%),
10/25/2046,
Ser.
2006-AR13,
Class
1A
b
626,397
785,395
1.932%,
(COF
11
+
1.250%),
3/25/2047,
Ser.
2007-OA2,
Class
2A
b
732,597
Washington
Mutual
Mortgage
Pass
Through
Certificates
361,580
6.000%,
11/25/2035,
Ser.
2005-10,
Class
2A9
350,434
759,654
7.000%,
4/25/2037,
Ser.
2007-2,
Class
1A1
449,610
Washington
Mutual
Mortgage
Pass-Through
Certificates
331,910
6.000%,
3/25/2035,
Ser.
2005-1,
Class
2A
331,464
Total
73,610,260
Commercial
Mortgage-Backed
Securities
(0.4%)
BFLD
Trust
950,000
1.800%,
(LIBOR
1M
+
1.700%),
10/15/2022,
Ser.
2020-EYP,
Class
B
b,e,i
950,000
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
55
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Commercial
Mortgage-Backed
Securities
(0.4%)
-
continued
Federal
National
Mortgage
Association
-
ACES
$
20,886,987
1.466%,
2/25/2031,
Ser.
2019-M21,
Class
X2
b,m
$
2,218,885
Total
3,168,885
Communications
Services
(3.1%)
Altice
France
SA
290,000
5.500%,
1/15/2028
i
293,625
American
Tower
Corporation
176,000
3.375%,
5/15/2024
190,533
112,000
2.950%,
1/15/2025
120,972
AT&T,
Inc.
452,000
4.450%,
4/1/2024
505,400
British
Sky
Broadcasting
Group
plc
110,000
3.125%,
11/26/2022
i
116,029
CCO
Holdings,
LLC
700,000
5.500%,
5/1/2026
i
729,750
460,000
5.125%,
5/1/2027
i
484,021
1,130,000
4.750%,
3/1/2030
i
1,196,387
160,000
4.250%,
2/1/2031
i
165,744
Charter
Communications
Operating,
LLC
170,000
4.500%,
2/1/2024
188,472
120,000
4.908%,
7/23/2025
138,704
Comcast
Corporation
117,000
3.700%,
4/15/2024
129,194
117,000
3.950%,
10/15/2025
134,172
Cox
Communications,
Inc.
171,000
2.950%,
6/30/2023
i
179,986
Crown
Castle
International
Corporation
118,000
4.450%,
2/15/2026
135,163
CSC
Holdings,
LLC
725,000
5.500%,
5/15/2026
i
754,000
280,000
4.125%,
12/1/2030
i
285,390
500,000
4.625%,
12/1/2030
i
502,365
Deutsche
Telekom
International
Finance
BV
105,000
2.485%,
9/19/2023
i
109,783
Discovery
Communications,
LLC
114,000
2.950%,
3/20/2023
120,089
DISH
Network
Corporation,
Convertible
655,000
3.375%,
8/15/2026
601,288
Embarq
Corporation
480,000
7.995%,
6/1/2036
568,349
Entercom
Media
Corporation
250,000
6.500%,
5/1/2027
i
217,500
Fox
Corporation
229,000
4.030%,
1/25/2024
252,077
Front
Range
BidCo,
Inc.
640,000
4.000%,
3/1/2027
i
629,904
GCI
Liberty,
Inc.,
Convertible
1,090,000
1.750%,
9/30/2046
i
1,867,715
GCI,
LLC
290,000
4.750%,
10/15/2028
e,i
293,628
Gray
Escrow,
Inc.
460,000
7.000%,
5/15/2027
i
498,703
iHeartCommunications,
Inc.
320,000
4.750%,
1/15/2028
i
301,583
Level
3
Financing,
Inc.
235,000
5.250%,
3/15/2026
243,448
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Communications
Services
(3.1%)
-
continued
$
580,000
4.625%,
9/15/2027
i
$
595,950
510,000
4.250%,
7/1/2028
i
517,813
Liberty
Interactive,
LLC,
Convertible
172,000
3.500%,
1/15/2031
142,962
Liberty
Media
Corporation,
Convertible
100,000
1.000%,
1/30/2023
118,630
Netflix,
Inc.
925,000
4.875%,
4/15/2028
1,033,687
Nexstar
Escrow
Corporation
400,000
5.625%,
7/15/2027
i
419,580
Nielsen
Finance,
LLC
130,000
5.625%,
10/1/2028
i
133,575
SBA
Communications
Corporation
300,000
3.875%,
2/15/2027
i
304,500
SFR
Group
SA
650,000
7.375%,
5/1/2026
i
681,135
Sirius
XM
Radio,
Inc.
940,000
5.000%,
8/1/2027
i
981,896
200,000
4.125%,
7/1/2030
i
204,958
Sprint
Capital
Corporation
400,000
6.875%,
11/15/2028
498,134
200,000
8.750%,
3/15/2032
292,762
Sprint
Corporation
630,000
7.250%,
9/15/2021
659,137
960,000
7.625%,
2/15/2025
1,123,200
Telesat
Canada
/
Telesat,
LLC
320,000
4.875%,
6/1/2027
i
321,296
T-Mobile
USA,
Inc.
187,000
3.500%,
4/15/2025
i
205,180
930,000
4.500%,
2/1/2026
958,272
Univision
Communications,
Inc.
520,000
6.625%,
6/1/2027
i
507,650
VeriSign,
Inc.
540,000
4.750%,
7/15/2027
572,400
Verizon
Communications,
Inc.
67,000
2.946%,
3/15/2022
69,458
219,000
1.380%,
(LIBOR
3M
+
1.100%),
5/15/2025
b
223,721
Viacom,
Inc.
161,000
4.250%,
9/1/2023
175,378
118,000
5.875%,
2/28/2057
b
120,074
Virgin
Media
Secured
Finance
plc
865,000
5.500%,
8/15/2026
i
901,763
Vodafone
Group
plc
165,000
3.750%,
1/16/2024
180,199
VTR
Finance
BV
190,000
6.375%,
N/A
i
199,500
Walt
Disney
Company
111,000
1.750%,
1/13/2026
115,318
Windstream
Services,
LLC
410,000
8.625%,
10/31/2025
*,f
246,000
Ziggo
BV
423,000
5.500%,
1/15/2027
i
443,093
Total
24,901,195
Consumer
Cyclical
(3.2%)
1011778
B.C.,
ULC
960,000
4.375%,
1/15/2028
i
979,008
Allied
Universal
Holdco,
LLC
300,000
6.625%,
7/15/2026
i
319,500
Allison
Transmission,
Inc.
675,000
5.000%,
10/1/2024
i
681,790
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
56
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Consumer
Cyclical
(3.2%)
-
continued
Amazon.com,
Inc.
$
111,000
0.800%,
6/3/2025
$
111,988
American
Honda
Finance
Corporation
163,000
2.050%,
1/10/2023
168,482
111,000
0.650%,
9/8/2023
110,961
111,000
1.200%,
7/8/2025
111,808
BMW
Finance
NV
109,000
2.250%,
8/12/2022
i
112,517
Booking
Holdings,
Inc.,
Convertible
74,000
0.900%,
9/15/2021
78,744
Brookfield
Property
REIT,
Inc.
175,000
5.750%,
5/15/2026
i
137,912
Brookfield
Residential
Properties,
Inc.
920,000
6.250%,
9/15/2027
i
927,751
Burlington
Stores,
Inc.,
Convertible
544,000
2.250%,
4/15/2025
i
648,189
Carnival
Corporation
200,000
11.500%,
4/1/2023
i
224,196
210,000
10.500%,
2/1/2026
i
232,575
Cedar
Fair,
LP
380,000
5.250%,
7/15/2029
k
360,764
Colt
Merger
Sub,
Inc.
620,000
6.250%,
7/1/2025
i
646,350
D.R.
Horton,
Inc.
160,000
2.550%,
12/1/2020
160,541
56,000
2.600%,
10/15/2025
60,043
Daimler
Finance
North
America,
LLC
118,000
2.550%,
8/15/2022
i
121,888
Dana,
Inc.
400,000
5.625%,
6/15/2028
413,000
Dick's
Sporting
Goods,
Inc.,
Convertible
427,000
3.250%,
4/15/2025
i
781,853
Ford
Motor
Company
170,000
9.000%,
4/22/2025
194,907
100,000
9.625%,
4/22/2030
129,125
450,000
7.450%,
7/16/2031
516,064
Ford
Motor
Credit
Company,
LLC
990,000
4.063%,
11/1/2024
988,762
500,000
4.134%,
8/4/2025
495,207
General
Motors
Company
163,000
5.400%,
10/2/2023
179,676
General
Motors
Financial
Company,
Inc.
162,000
4.375%,
9/25/2021
167,128
118,000
4.200%,
11/6/2021
121,837
108,000
3.150%,
6/30/2022
110,936
233,000
3.950%,
4/13/2024
246,490
171,000
2.900%,
2/26/2025
176,172
111,000
2.750%,
6/20/2025
113,700
240,000
5.700%,
9/30/2030
b,l
240,900
Hanesbrands,
Inc.
700,000
4.875%,
5/15/2026
i
747,250
Harley-Davidson
Financial
Services,
Inc.
180,000
4.050%,
2/4/2022
i
186,013
Herc
Holdings,
Inc.
260,000
5.500%,
7/15/2027
i
269,009
Hilton
Domestic
Operating
Company,
Inc.
920,000
4.875%,
1/15/2030
947,600
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Consumer
Cyclical
(3.2%)
-
continued
Home
Depot,
Inc.
$
111,000
3.750%,
2/15/2024
$
122,447
Hyundai
Capital
America
165,000
3.000%,
6/20/2022
i,k
170,107
111,000
1.800%,
10/15/2025
i
110,388
International
Game
Technology
plc
410,000
5.250%,
1/15/2029
i
414,612
KB
Home
330,000
4.800%,
11/15/2029
363,825
Kohl's
Corporation
145,000
9.500%,
5/15/2025
171,075
L
Brands,
Inc.
250,000
6.625%,
10/1/2030
i
254,375
Landry's,
Inc.
320,000
6.750%,
10/15/2024
i
267,200
Lennar
Corporation
161,000
2.950%,
11/29/2020
161,000
65,000
4.125%,
1/15/2022
66,462
172,000
4.875%,
12/15/2023
184,921
1,180,000
4.500%,
4/30/2024
1,265,550
58,000
5.875%,
11/15/2024
64,815
Lowe's
Companies,
Inc.
111,000
4.000%,
4/15/2025
125,801
Marriott
International,
Inc.
223,000
3.750%,
10/1/2025
228,990
Marriott
Vacations
Worldwide
Corporation,
Convertible
87,000
1.500%,
9/15/2022
85,518
Mattamy
Group
Corporation
830,000
5.250%,
12/15/2027
i
852,825
McDonald's
Corporation
226,000
3.350%,
4/1/2023
241,279
MGM
Resorts
International
115,000
6.000%,
3/15/2023
119,302
575,000
5.750%,
6/15/2025
603,060
Nissan
Motor
Company,
Ltd.
111,000
3.043%,
9/15/2023
i
112,514
Norwegian
Cruise
Line
Holdings,
Ltd.
200,000
10.250%,
2/1/2026
i
208,375
Penn
National
Gaming,
Inc.,
Convertible
68,000
2.750%,
5/15/2026
218,243
Prime
Security
Services
Borrower,
LLC
820,000
5.750%,
4/15/2026
i
876,892
150,000
3.375%,
8/31/2027
i
144,187
Ralph
Lauren
Corporation
111,000
1.700%,
6/15/2022
112,990
Royal
Caribbean
Cruises,
Ltd.
210,000
9.125%,
6/15/2023
i
222,600
150,000
11.500%,
6/1/2025
i
174,337
Scientific
Games
International,
Inc.
470,000
5.000%,
10/15/2025
i
472,938
ServiceMaster
Company,
LLC
690,000
5.125%,
11/15/2024
i
705,525
Six
Flags
Entertainment
Corporation
290,000
5.500%,
4/15/2027
i,k
275,007
Six
Flags
Theme
Parks,
Inc.
190,000
7.000%,
7/1/2025
i
202,113
Staples,
Inc.
520,000
7.500%,
4/15/2026
i
479,159
Target
Corporation
111,000
2.250%,
4/15/2025
118,506
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
57
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Consumer
Cyclical
(3.2%)
-
continued
TJX
Companies,
Inc.
$
111,000
3.500%,
4/15/2025
$
123,790
Under
Armour,
Inc.,
Convertible
74,000
1.500%,
6/1/2024
i
92,475
VF
Corporation
116,000
2.050%,
4/23/2022
118,915
Volkswagen
Group
of
America
Finance,
LLC
200,000
4.250%,
11/13/2023
i
219,740
56,000
3.350%,
5/13/2025
i
61,137
Wyndham
Destinations,
Inc.
250,000
6.625%,
7/31/2026
i
261,903
Wyndham
Hotels
&
Resorts,
Inc.
150,000
4.375%,
8/15/2028
i
145,500
Yum!
Brands,
Inc.
700,000
4.750%,
1/15/2030
i
754,250
Total
25,195,284
Consumer
Non-Cyclical
(3.3%)
Abbott
Laboratories
216,000
2.550%,
3/15/2022
223,001
113,000
3.400%,
11/30/2023
122,770
AbbVie,
Inc.
108,000
2.900%,
11/6/2022
113,239
233,000
2.300%,
11/21/2022
i
241,106
107,000
2.800%,
3/15/2023
i
111,844
457,000
3.600%,
5/14/2025
506,423
Albertson's
Companies,
Inc.
610,000
3.500%,
3/15/2029
i
592,081
190,000
4.875%,
2/15/2030
i
198,075
Altria
Group,
Inc.
173,000
3.800%,
2/14/2024
189,066
113,000
4.400%,
2/14/2026
130,096
Amgen,
Inc.
172,000
1.900%,
2/21/2025
179,846
Anheuser-Busch
Companies,
LLC
113,000
3.650%,
2/1/2026
126,290
Anheuser-Busch
InBev
Worldwide,
Inc.
177,000
4.150%,
1/23/2025
199,836
Anthem,
Inc.
166,000
2.375%,
1/15/2025
176,343
Aramark
Services,
Inc.
180,000
6.375%,
5/1/2025
i
187,501
AstraZeneca
plc
110,000
0.700%,
4/8/2026
107,862
BAT
Capital
Corporation
110,000
2.764%,
8/15/2022
113,992
177,000
3.222%,
8/15/2024
189,397
BAT
International
Finance
plc
111,000
1.668%,
3/25/2026
111,350
Bausch
Health
Companies,
Inc.
120,000
5.000%,
1/30/2028
i
116,550
Bayer
U.S.
Finance
II,
LLC
213,000
3.500%,
6/25/2021
i
217,272
Boston
Scientific
Corporation
241,000
3.450%,
3/1/2024
261,063
Bristol-Myers
Squibb
Company
177,000
3.625%,
5/15/2024
195,025
Bunge,
Ltd.
Finance
Corporation
70,000
3.500%,
11/24/2020
70,306
134,000
1.630%,
8/17/2025
134,557
Cargill,
Inc.
114,000
1.375%,
7/23/2023
i
116,601
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Consumer
Non-Cyclical
(3.3%)
-
continued
Centene
Corporation
$
280,000
4.750%,
1/15/2025
$
287,784
172,000
5.375%,
8/15/2026
i
182,178
150,000
4.250%,
12/15/2027
156,964
360,000
4.625%,
12/15/2029
388,318
610,000
3.000%,
10/15/2030
e
621,437
Cigna
Corporation
235,000
4.125%,
11/15/2025
269,456
Conagra
Brands,
Inc.
118,000
3.800%,
10/22/2021
122,014
118,000
4.300%,
5/1/2024
131,636
Constellation
Brands,
Inc.
220,000
4.250%,
5/1/2023
239,932
CVS
Health
Corporation
108,000
2.750%,
12/1/2022
112,619
141,000
3.700%,
3/9/2023
151,033
220,000
4.100%,
3/25/2025
248,566
DaVita,
Inc.
470,000
4.625%,
6/1/2030
i
482,408
Diageo
Capital
plc
133,000
1.375%,
9/29/2025
136,274
Edgewell
Personal
Care
Company
200,000
5.500%,
6/1/2028
i
210,446
Encompass
Health
Corporation
550,000
4.500%,
2/1/2028
552,750
Energizer
Holdings,
Inc.
780,000
6.375%,
7/15/2026
i
838,656
450,000
4.375%,
3/31/2029
i
454,500
General
Mills,
Inc.
110,000
3.700%,
10/17/2023
119,920
110,000
3.650%,
2/15/2024
119,914
HCA,
Inc.
1,350,000
5.375%,
2/1/2025
1,478,250
HLF
Financing
SARL,
LLC
300,000
7.250%,
8/15/2026
i
308,250
Illumina,
Inc.,
Convertible
44,000
0.500%,
6/15/2021
56,453
Imperial
Brands
Finance
plc
105,000
3.125%,
7/26/2024
i
111,016
Ionis
Pharmaceuticals,
Inc.,
Convertible
119,000
0.125%,
12/15/2024
i
109,582
JBS
Investments
II
GmbH
290,000
5.750%,
1/15/2028
i
301,600
JBS
USA,
LLC
470,000
5.750%,
6/15/2025
i
484,476
430,000
5.500%,
1/15/2030
i
468,700
Kellogg
Company
220,000
3.125%,
5/17/2022
228,943
Kraft
Foods
Group,
Inc.
500,000
5.000%,
6/4/2042
546,882
Kraft
Heinz
Foods
Company
500,000
4.625%,
1/30/2029
556,356
750,000
3.750%,
4/1/2030
i
791,721
230,000
4.250%,
3/1/2031
i
252,172
Kroger
Company
110,000
2.800%,
8/1/2022
114,281
Medtronic,
Inc.
57,000
3.500%,
3/15/2025
64,205
Molina
Healthcare,
Inc.
350,000
4.375%,
6/15/2028
i
357,175
Mondelez
International
Holdings
Netherlands
BV
162,000
2.000%,
10/28/2021
i
164,539
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
58
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Consumer
Non-Cyclical
(3.3%)
-
continued
Mondelez
International,
Inc.
$
57,000
2.125%,
4/13/2023
$
59,159
Mylan
NV
148,000
3.150%,
6/15/2021
150,383
Mylan,
Inc.
105,000
4.200%,
11/29/2023
115,095
Novartis
Capital
Corporation
114,000
1.750%,
2/14/2025
119,343
Par
Pharmaceutical,
Inc.
470,000
7.500%,
4/1/2027
i
492,410
PepsiCo,
Inc.
168,000
2.250%,
3/19/2025
179,865
Pernod
Ricard
SA
150,000
5.750%,
4/7/2021
i
154,065
Philip
Morris
International,
Inc.
170,000
1.500%,
5/1/2025
175,412
Post
Holdings,
Inc.
290,000
5.750%,
3/1/2027
i
304,863
QBE
Insurance
Group,
Ltd.
240,000
5.875%,
5/12/2025
b,i,l
254,700
Reynolds
American,
Inc.
110,000
4.850%,
9/15/2023
122,722
Royalty
Pharma
plc
111,000
1.200%,
9/2/2025
i
110,649
Scotts
Miracle-Gro
Company
530,000
4.500%,
10/15/2029
561,469
Shire
Acquisitions
Investments
Ireland
Designated
Activity
Company
59,000
2.400%,
9/23/2021
60,065
Simmons
Foods,
Inc.
320,000
5.750%,
11/1/2024
i
320,333
Spectrum
Brands,
Inc.
300,000
5.750%,
7/15/2025
309,300
240,000
5.000%,
10/1/2029
i
249,000
150,000
5.500%,
7/15/2030
i
158,250
Sysco
Corporation
223,000
5.650%,
4/1/2025
263,671
Teleflex,
Inc.
725,000
4.875%,
6/1/2026
748,563
Tenet
Healthcare
Corporation
240,000
4.625%,
7/15/2024
240,600
700,000
5.125%,
11/1/2027
i
720,020
Teva
Pharmaceutical
Finance
Netherlands
III
BV
52,000
2.200%,
7/21/2021
51,558
440,000
2.800%,
7/21/2023
420,750
Thermo
Fisher
Scientific,
Inc.
112,000
4.133%,
3/25/2025
127,604
TreeHouse
Foods,
Inc.
200,000
4.000%,
9/1/2028
202,276
Tyson
Foods,
Inc.
98,000
4.500%,
6/15/2022
103,773
UnitedHealth
Group,
Inc.
70,000
3.350%,
7/15/2022
73,758
Upjohn,
Inc.
111,000
1.650%,
6/22/2025
i
113,600
VRX
Escrow
Corporation
1,895,000
6.125%,
4/15/2025
i
1,940,006
Zoetis,
Inc.
161,000
3.250%,
2/1/2023
169,865
Total
26,226,025
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Energy
(2.6%)
Antero
Resources
Corporation
$
285,000
5.000%,
3/1/2025
$
178,125
Apache
Corporation
190,000
4.875%,
11/15/2027
179,550
310,000
4.375%,
10/15/2028
k
283,650
240,000
5.100%,
9/1/2040
215,736
Archrock
Partners,
LP
290,000
6.250%,
4/1/2028
i
273,325
BP
Capital
Markets
America,
Inc.
442,000
2.520%,
9/19/2022
457,146
114,000
2.937%,
4/6/2023
120,571
BP
Capital
Markets
plc
240,000
4.875%,
3/22/2030
b,l
256,800
Buckeye
Partners,
LP
120,000
4.125%,
3/1/2025
i
114,600
390,000
3.950%,
12/1/2026
364,018
140,000
4.125%,
12/1/2027
132,650
Canadian
Natural
Resources,
Ltd.
110,000
2.950%,
1/15/2023
114,389
111,000
2.050%,
7/15/2025
113,240
Canadian
Oil
Sands,
Ltd.
108,000
9.400%,
9/1/2021
i
114,162
Cheniere
Energy
Partners,
LP
970,000
5.625%,
10/1/2026
1,008,800
Chevron
Corporation
56,000
1.141%,
5/11/2023
57,079
111,000
1.554%,
5/11/2025
114,998
Comstock
Resources,
Inc.
200,000
9.750%,
8/15/2026
205,040
Continental
Resources,
Inc.
304,000
5.000%,
9/15/2022
301,912
176,000
4.500%,
4/15/2023
167,800
DCP
Midstream
Operating,
LP
300,000
5.625%,
7/15/2027
306,900
Devon
Energy
Corporation
111,000
5.850%,
12/15/2025
124,372
Diamondback
Energy,
Inc.
117,000
2.875%,
12/1/2024
118,442
Enagas
SA
800,000
5.500%,
1/15/2028
i
720,000
Enbridge,
Inc.
110,000
2.900%,
7/15/2022
114,168
887,000
6.250%,
3/1/2078
b
900,305
Endeavor
Energy
Resources,
LP
130,000
5.500%,
1/30/2026
i
129,025
360,000
5.750%,
1/30/2028
i
361,800
Energy
Transfer
Operating,
LP
112,000
4.200%,
9/15/2023
118,017
220,000
5.875%,
1/15/2024
241,962
264,000
6.625%,
2/15/2028
b,l
179,441
EnLink
Midstream
Partners,
LP
310,000
4.850%,
7/15/2026
268,184
420,000
5.600%,
4/1/2044
269,850
Enterprise
Products
Operating,
LLC
440,000
4.875%,
8/16/2077
b
383,244
EOG
Resources,
Inc.
180,000
2.625%,
3/15/2023
187,502
EQM
Midstream
Partners,
LP
350,000
6.500%,
7/1/2027
i
371,007
160,000
5.500%,
7/15/2028
161,128
EQT
Corporation
540,000
3.900%,
10/1/2027
k
492,075
EQT
Corporation,
Convertible
223,000
1.750%,
5/1/2026
i
254,153
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
59
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Energy
(2.6%)
-
continued
Equinor
ASA
$
112,000
2.875%,
4/6/2025
$
121,727
Exxon
Mobil
Corporation
165,000
1.571%,
4/15/2023
169,703
113,000
2.992%,
3/19/2025
123,754
Harvest
Midstream,
LP
270,000
7.500%,
9/1/2028
i
268,650
Hess
Corporation
112,000
3.500%,
7/15/2024
114,558
Kinder
Morgan
Energy
Partners,
LP
216,000
3.450%,
2/15/2023
226,895
Marathon
Petroleum
Corporation
110,000
4.750%,
12/15/2023
120,552
MPLX,
LP
162,000
4.500%,
7/15/2023
175,553
134,000
1.750%,
3/1/2026
133,695
Murphy
Oil
Corporation
280,000
5.875%,
12/1/2027
239,131
Nabors
Industries,
Ltd.
410,000
7.250%,
1/15/2026
i
201,925
National
Fuel
Gas
Company
112,000
5.500%,
1/15/2026
122,237
Newfield
Exploration
Company
172,000
5.625%,
7/1/2024
167,291
Noble
Energy,
Inc.
178,000
3.900%,
11/15/2024
194,727
NuStar
Logistics,
LP
360,000
5.750%,
10/1/2025
371,808
Occidental
Petroleum
Corporation
284,000
2.700%,
8/15/2022
265,361
590,000
2.900%,
8/15/2024
500,574
210,000
3.400%,
4/15/2026
167,475
190,000
8.500%,
7/15/2027
191,465
360,000
3.500%,
8/15/2029
276,048
200,000
6.450%,
9/15/2036
170,004
500,000
4.400%,
4/15/2046
356,733
ONEOK,
Inc.
57,000
2.200%,
9/15/2025
56,164
Parsley
Energy,
LLC
460,000
5.625%,
10/15/2027
i
457,700
PDC
Energy,
Inc.,
Convertible
17,000
1.125%,
9/15/2021
16,122
Pioneer
Natural
Resources
Company,
Convertible
146,000
0.250%,
5/15/2025
i
160,745
Plains
All
American
Pipeline,
LP
260,000
6.125%,
11/15/2022
b,l
164,944
60,000
2.850%,
1/31/2023
61,071
53,000
3.600%,
11/1/2024
54,668
111,000
4.650%,
10/15/2025
119,240
QEP
Resources,
Inc.
210,000
5.625%,
3/1/2026
119,175
Sabine
Pass
Liquefaction,
LLC
108,000
6.250%,
3/15/2022
114,605
108,000
5.625%,
4/15/2023
118,293
Schlumberger
Finance
Canada,
Ltd.
111,000
1.400%,
9/17/2025
111,579
Shell
International
Finance
BV
112,000
2.375%,
4/6/2025
119,449
Southwestern
Energy
Company
530,000
7.500%,
4/1/2026
k
518,075
Suncor
Energy,
Inc.
112,000
3.100%,
5/15/2025
120,293
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Energy
(2.6%)
-
continued
Sunoco
Logistics
Partners
Operations,
LP
$
175,000
4.400%,
4/1/2021
$
177,567
Sunoco,
LP
370,000
5.875%,
3/15/2028
378,325
Targa
Resources
Partners,
LP
570,000
5.375%,
2/1/2027
573,203
100,000
5.000%,
1/15/2028
97,500
Transocean
Guardian,
Ltd.
261,300
5.875%,
1/15/2024
i
168,539
W&T
Offshore,
Inc.
320,000
9.750%,
11/1/2023
i
220,371
Western
Gas
Partners,
LP
110,000
4.000%,
7/1/2022
110,652
Western
Midstream
Operating,
LP
160,000
6.250%,
2/1/2050
148,200
310,000
4.100%,
2/1/2025
295,275
300,000
3.950%,
6/1/2025
281,940
Williams
Partners,
LP
215,000
4.500%,
11/15/2023
235,403
WPX
Energy,
Inc.
240,000
5.750%,
6/1/2026
248,400
270,000
5.250%,
10/15/2027
274,050
Total
20,676,580
Financials
(7.3%)
ACE
INA
Holdings,
Inc.
70,000
2.875%,
11/3/2022
73,216
Aegon
NV
720,000
0.736%,
(USISDA
10Y
+
0.100%),
1/15/2021
b,l
546,048
AerCap
Ireland
Capital
DAC
150,000
6.500%,
7/15/2025
161,904
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
90,000
3.150%,
2/15/2024
89,243
118,000
3.500%,
1/15/2025
114,925
Air
Lease
Corporation
220,000
2.500%,
3/1/2021
221,324
Aircastle,
Ltd.
178,000
5.000%,
4/1/2023
178,390
Ally
Financial,
Inc.
167,000
1.450%,
10/2/2023
166,584
430,000
5.750%,
11/20/2025
482,709
American
Express
Company
105,000
3.700%,
8/3/2023
113,734
113,000
3.400%,
2/22/2024
122,755
American
International
Group,
Inc.
56,000
2.500%,
6/30/2025
59,847
Ares
Capital
Corporation,
Convertible
90,000
4.625%,
3/1/2024
93,321
Athene
Global
Funding
165,000
4.000%,
1/25/2022
i,k
171,292
Australia
and
New
Zealand
Banking
Group,
Ltd.
200,000
2.950%,
7/22/2030
b,i
207,246
Aviation
Capital
Group,
LLC
100,000
5.500%,
12/15/2024
i
103,156
Avolon
Holdings
Funding,
Ltd.
57,000
5.250%,
5/15/2024
i
57,253
BAC
Capital
Trust
XIV
248,000
4.000%,
(LIBOR
3M
+
0.400%),
10/19/2020
b,l
245,084
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
60
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Financials
(7.3%)
-
continued
Banco
Santander
Mexico
SA
$
67,000
5.375%,
4/17/2025
i
$
74,504
Bank
of
America
Corporation
218,000
2.738%,
1/23/2022
b
219,538
224,000
3.499%,
5/17/2022
b
228,174
200,000
3.004%,
12/20/2023
b
209,985
328,000
3.550%,
3/5/2024
b
349,368
564,000
5.125%,
6/20/2024
b,l
578,344
497,000
3.864%,
7/23/2024
b
538,204
244,000
4.200%,
8/26/2024
271,683
990,000
6.250%,
9/5/2024
b,l
1,060,537
113,000
3.458%,
3/15/2025
b
122,467
279,000
1.319%,
6/19/2026
b
280,681
480,000
5.875%,
3/15/2028
b,l
517,562
Bank
of
Montreal
330,000
3.300%,
2/5/2024
357,452
Bank
of
New
York
Mellon
Corporation
216,000
2.600%,
2/7/2022
222,240
114,000
1.600%,
4/24/2025
118,349
120,000
4.700%,
9/20/2025
b,l
127,320
Bank
of
Nova
Scotia
221,000
2.375%,
1/18/2023
230,174
114,000
1.950%,
2/1/2023
117,817
35,000
1.625%,
5/1/2023
35,897
360,000
4.900%,
6/4/2025
b,l
372,600
Barclays
Bank
plc
100,000
5.140%,
10/14/2020
100,141
Barclays
plc
225,000
4.610%,
2/15/2023
b
235,504
283,000
4.338%,
5/16/2024
b
303,794
195,000
8.000%,
6/15/2024
b,l
207,675
134,000
2.852%,
5/7/2026
b
139,119
BB&T
Corporation
105,000
2.500%,
8/1/2024
111,751
BNP
Paribas
SA
240,000
7.625%,
3/30/2021
b,i,l
244,200
141,000
2.819%,
11/19/2025
b,i
148,740
BPCE
SA
110,000
3.000%,
5/22/2022
i
113,791
114,000
2.375%,
1/14/2025
i
118,523
Camden
Property
Trust
110,000
4.875%,
6/15/2023
120,706
Canadian
Imperial
Bank
of
Commerce
114,000
2.250%,
1/28/2025
120,211
Capital
One
Bank
USA
NA
165,000
3.375%,
2/15/2023
174,370
171,000
2.280%,
1/28/2026
b
176,947
Capital
One
Financial
Corporation
324,000
3.050%,
3/9/2022
334,680
Cascades
USA,
Inc.
480,000
5.125%,
1/15/2026
i
502,896
Central
Fidelity
Capital
Trust
I
445,000
1.275%,
(LIBOR
3M
+
1.000%),
4/15/2027
b
415,406
Charles
Schwab
Corporation
962,000
5.375%,
6/1/2025
b,l
1,042,375
CIT
Group,
Inc.
655,000
5.000%,
8/15/2022
675,469
Citigroup,
Inc.
108,000
2.750%,
4/25/2022
111,604
108,000
0.935%,
(LIBOR
3M
+
0.690%),
10/27/2022
b
108,535
466,000
2.312%,
11/4/2022
b
475,092
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Financials
(7.3%)
-
continued
$
218,000
3.142%,
1/24/2023
b
$
224,909
496,000
5.000%,
9/12/2024
b,l
493,520
726,000
4.700%,
1/30/2025
b,l
701,497
336,000
3.352%,
4/24/2025
b
363,468
248,000
5.950%,
5/15/2025
b,l
259,780
274,000
5.500%,
9/13/2025
324,039
CNA
Financial
Corporation
126,000
3.950%,
5/15/2024
139,593
Comerica,
Inc.
120,000
5.625%,
7/1/2025
b,l
126,000
Compass
Bank
250,000
3.500%,
6/11/2021
254,530
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
216,000
3.950%,
11/9/2022
229,501
Cooperatieve
Rabobank
UA
111,000
1.339%,
6/24/2026
b,i
112,346
Corporate
Office
Properties,
LP
111,000
2.250%,
3/15/2026
112,245
Credit
Acceptance
Corporation
310,000
5.125%,
12/31/2024
i
307,839
Credit
Agricole
SA
108,000
3.375%,
1/10/2022
i
111,537
240,000
8.125%,
12/23/2025
b,i,l
282,000
111,000
1.907%,
6/16/2026
b,i
113,496
Credit
Suisse
Group
AG
372,000
7.500%,
12/11/2023
b,i,l
405,480
117,000
2.593%,
9/11/2025
b,i
122,088
250,000
2.193%,
6/5/2026
b,i
258,139
Credit
Suisse
Group
Funding
(Guernsey),
Ltd.
325,000
3.800%,
9/15/2022
343,515
Dai-ichi
Life
Insurance
Company,
Ltd.
518,000
5.100%,
10/28/2024
b,i,l
574,332
Danske
Bank
AS
177,000
5.000%,
1/12/2023
b,i
185,516
Deutsche
Bank
AG
223,000
2.222%,
9/18/2024
b
224,464
200,000
6.000%,
10/30/2025
b,l
172,500
Deutsche
Bank
AG
of
New
York
117,000
3.950%,
2/27/2023
122,884
Digital
Realty
Trust,
LP
165,000
2.750%,
2/1/2023
172,576
Discover
Bank
107,000
4.200%,
8/8/2023
117,078
175,000
2.450%,
9/12/2024
184,596
ESH
Hospitality,
Inc.
280,000
5.250%,
5/1/2025
i
282,800
150,000
4.625%,
10/1/2027
i
147,191
Fidelity
National
Financial,
Inc.
180,000
5.500%,
9/1/2022
195,348
Fifth
Third
Bancorp
164,000
2.600%,
6/15/2022
169,543
113,000
3.650%,
1/25/2024
123,160
240,000
4.500%,
9/30/2025
b,l
241,500
First
Horizon
National
Corporation
134,000
3.550%,
5/26/2023
140,998
Five
Corners
Funding
Trust
275,000
4.419%,
11/15/2023
i
305,550
FNB
Corporation
229,000
2.200%,
2/24/2023
231,029
FTI
Consulting,
Inc.,
Convertible
322,000
2.000%,
8/15/2023
394,465
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
61
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Financials
(7.3%)
-
continued
GE
Capital
Funding,
LLC
$
200,000
3.450%,
5/15/2025
i
$
214,102
General
Electric
Capital
Corporation
232,000
3.100%,
1/9/2023
243,447
Goldman
Sachs
Group,
Inc.
500,000
4.165%,
(LIBOR
3M
+
3.922%),
11/2/2020
b,l
491,400
216,000
3.000%,
4/26/2022
219,115
164,000
2.876%,
10/31/2022
b
167,920
108,000
1.298%,
(LIBOR
3M
+
1.050%),
6/5/2023
b
108,704
226,000
3.625%,
2/20/2024
245,404
548,000
5.500%,
8/10/2024
b,l
578,140
111,000
3.500%,
4/1/2025
122,472
176,000
3.272%,
9/29/2025
b
190,513
167,000
4.250%,
10/21/2025
189,727
Guardian
Life
Global
Funding
200,000
2.000%,
4/26/2021
i
201,975
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Convertible
205,000
4.125%,
9/1/2022
329,609
HCP,
Inc.
114,000
4.250%,
11/15/2023
124,751
Hospitality
Properties
Trust
80,000
4.250%,
2/15/2021
79,600
HSBC
Holdings
plc
216,000
6.875%,
6/1/2021
b,l
220,320
225,000
3.803%,
3/11/2025
b
243,062
372,000
6.375%,
3/30/2025
b,l
389,367
141,000
2.633%,
11/7/2025
b
146,869
134,000
1.645%,
4/18/2026
b
133,622
248,000
6.500%,
3/23/2028
b,l
263,344
Huntington
Bancshares,
Inc.
140,000
3.150%,
3/14/2021
141,499
360,000
4.450%,
10/15/2027
b,l
356,400
Icahn
Enterprises,
LP
325,000
6.750%,
2/1/2024
333,377
430,000
6.375%,
12/15/2025
442,025
200,000
6.250%,
5/15/2026
208,500
ILFC
E-Capital
Trust
II
372,000
3.230%,
(H15T30Y
+
1.800%),
12/21/2065
b,i
201,810
ING
Groep
NV
225,000
4.100%,
10/2/2023
246,715
Intercontinental
Exchange,
Inc.
111,000
0.700%,
6/15/2023
111,291
Iron
Mountain,
Inc.
855,000
4.875%,
9/15/2027
i
871,897
iStar,
Inc.,
Convertible
58,000
3.125%,
9/15/2022
61,686
J.P.
Morgan
Chase
&
Company
272,000
2.776%,
4/25/2023
b
281,275
252,000
3.375%,
5/1/2023
268,971
600,000
5.150%,
5/1/2023
b,l
603,000
215,000
1.494%,
(LIBOR
3M
+
1.230%),
10/24/2023
b
218,319
240,000
6.750%,
2/1/2024
b,l
259,800
97,000
1.514%,
6/1/2024
b
99,098
1,132,000
5.000%,
8/1/2024
b,l
1,130,049
245,000
3.875%,
9/10/2024
270,991
476,000
4.023%,
12/5/2024
b
523,465
726,000
4.600%,
2/1/2025
b,l
711,480
111,000
2.083%,
4/22/2026
b
115,932
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Financials
(7.3%)
-
continued
KeyBank
NA
$
285,000
1.250%,
3/10/2023
$
290,245
Kilroy
Realty,
LP
125,000
4.375%,
10/1/2025
137,979
Liberty
Mutual
Group,
Inc.
25,000
5.000%,
6/1/2021
i
25,761
Lincoln
National
Corporation
235,000
2.638%,
(LIBOR
3M
+
2.358%),
5/17/2066
b
169,555
Lloyds
Banking
Group
plc
233,000
3.000%,
1/11/2022
239,725
175,000
2.858%,
3/17/2023
b
179,891
225,000
3.900%,
3/12/2024
244,887
242,000
7.500%,
6/27/2024
b,l
253,798
590,000
6.657%,
5/21/2037
b,i,l
699,150
MetLife,
Inc.
240,000
3.850%,
9/15/2025
b,l
239,100
480,000
5.875%,
3/15/2028
b,l
522,000
MGIC
Investment
Corporation,
Convertible
393,000
9.000%,
4/1/2063
i
502,058
MGM
Growth
Properties
Operating
Partnership,
LP
420,000
4.625%,
6/15/2025
i
428,400
Mitsubishi
UFJ
Financial
Group,
Inc.
108,000
2.998%,
2/22/2022
111,603
163,000
2.623%,
7/18/2022
168,936
220,000
3.455%,
3/2/2023
234,204
113,000
3.407%,
3/7/2024
122,764
134,000
1.412%,
7/17/2025
135,653
Mizuho
Financial
Group,
Inc.
163,000
2.721%,
7/16/2023
b
168,804
Morgan
Stanley
216,000
5.500%,
7/28/2021
225,078
108,000
2.750%,
5/19/2022
111,920
64,000
4.875%,
11/1/2022
69,189
218,000
3.125%,
1/23/2023
230,525
234,000
4.100%,
5/22/2023
252,920
114,000
2.720%,
7/22/2025
b
121,098
226,000
2.188%,
4/28/2026
b
236,571
MPT
Operating
Partnership,
LP
510,000
5.250%,
8/1/2026
525,300
460,000
4.625%,
8/1/2029
478,616
National
Australia
Bank,
Ltd.
171,000
1.875%,
12/13/2022
176,603
National
Bank
of
Canada
171,000
2.100%,
2/1/2023
176,773
National
Securities
Clearing
Corporation
115,000
1.200%,
4/23/2023
i
117,023
Natwest
Group
plc
110,000
6.125%,
12/15/2022
120,322
110,000
6.100%,
6/10/2023
121,694
Nippon
Life
Insurance
Company
363,000
3.400%,
1/23/2050
b,i
386,595
Nomura
Holdings,
Inc.
137,000
2.648%,
1/16/2025
144,242
Nordea
Bank
Abp
200,000
6.625%,
3/26/2026
b,i,l
225,666
Outfront
Media
Cap,
LLC
680,000
4.625%,
3/15/2030
i
652,800
Park
Aerospace
Holdings,
Ltd.
57,000
4.500%,
3/15/2023
i
56,546
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
62
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Financials
(7.3%)
-
continued
PayPal
Holdings,
Inc.
$
111,000
1.650%,
6/1/2025
$
114,941
PNC
Financial
Services
Group,
Inc.
110,000
3.500%,
1/23/2024
119,862
Provident
Financing
Trust
I
112,000
7.405%,
3/15/2038
128,468
Prudential
Financial,
Inc.
695,000
5.625%,
6/15/2043
b
738,125
589,000
5.200%,
3/15/2044
b
623,815
120,000
3.700%,
10/1/2050
b
122,436
Quicken
Loans,
LLC
240,000
3.625%,
3/1/2029
i
237,900
240,000
3.875%,
3/1/2031
i
237,000
Regions
Financial
Corporation
112,000
3.800%,
8/14/2023
121,425
240,000
5.750%,
6/15/2025
b,l
256,200
Reinsurance
Group
of
America,
Inc.
162,000
4.700%,
9/15/2023
178,863
Royal
Bank
of
Canada
111,000
1.600%,
4/17/2023
113,905
118,000
2.250%,
11/1/2024
125,052
Royal
Bank
of
Scotland
Group
plc
240,000
8.625%,
8/15/2021
b,l
246,000
220,000
4.269%,
3/22/2025
b
239,116
94,000
3.754%,
11/1/2029
b
97,323
Santander
Holdings
USA,
Inc.
111,000
3.450%,
6/2/2025
118,454
Santander
UK
Group
Holdings
plc
210,000
2.875%,
8/5/2021
214,220
Santander
UK
plc
171,000
2.100%,
1/13/2023
176,457
Service
Properties
Trust
250,000
4.500%,
6/15/2023
245,265
330,000
4.750%,
10/1/2026
294,080
Simon
Property
Group,
LP
120,000
2.500%,
7/15/2021
121,297
106,000
2.000%,
9/13/2024
109,260
Societe
Generale
SA
141,000
2.625%,
10/16/2024
i
146,047
240,000
8.000%,
9/29/2025
b,i,l
267,900
Springleaf
Finance
Corporation
770,000
6.875%,
3/15/2025
854,450
Standard
Chartered
plc
163,000
2.744%,
9/10/2022
b,i
165,578
Starwood
Property
Trust,
Inc.,
Convertible
67,000
4.375%,
4/1/2023
64,229
State
Street
Corporation
111,000
2.825%,
3/30/2023
b,i
114,847
118,000
2.354%,
11/1/2025
b
124,881
Sumitomo
Mitsui
Financial
Group,
Inc.
108,000
2.784%,
7/12/2022
112,229
456,000
2.778%,
10/18/2022
476,219
141,000
2.448%,
9/27/2024
148,995
Sumitomo
Mitsui
Trust
Bank,
Ltd.
111,000
1.050%,
9/12/2025
i
111,400
Synchrony
Financial
94,000
3.750%,
8/15/2021
95,934
105,000
2.850%,
7/25/2022
108,150
115,000
4.250%,
8/15/2024
124,945
Toronto-Dominion
Bank
113,000
3.250%,
3/11/2024
122,445
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Financials
(7.3%)
-
continued
Truist
Bank
$
167,000
1.500%,
3/10/2025
$
172,161
Truist
Financial
Corporation
540,000
4.950%,
9/1/2025
b,l
568,350
UBS
Group
AG
134,000
1.364%,
1/30/2027
b,i
133,897
USB
Realty
Corporation
496,000
1.422%,
(LIBOR
3M
+
1.147%),
1/15/2022
b,i,l
401,760
Ventas
Realty,
LP
112,000
3.100%,
1/15/2023
116,447
110,000
3.750%,
5/1/2024
117,841
VEREIT
Operating
Partnership,
LP
110,000
4.625%,
11/1/2025
121,514
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
180,000
4.250%,
12/1/2026
i
180,837
110,000
3.750%,
2/15/2027
i
108,161
180,000
4.625%,
12/1/2029
i
183,858
110,000
4.125%,
8/15/2030
i
108,350
Wachovia
Capital
Trust
II
220,000
0.775%,
(LIBOR
3M
+
0.500%),
1/15/2027
b
200,284
Wells
Fargo
&
Company
205,000
2.100%,
7/26/2021
207,863
110,000
2.625%,
7/22/2022
114,109
220,000
4.125%,
8/15/2023
239,652
250,000
1.491%,
(LIBOR
3M
+
1.230%),
10/31/2023
b
253,114
115,000
3.750%,
1/24/2024
124,932
100,000
1.654%,
6/2/2024
b
101,838
233,000
2.406%,
10/30/2025
b
244,113
169,000
2.188%,
4/30/2026
b
175,517
Westpac
Banking
Corporation
114,000
2.000%,
1/13/2023
118,169
114,000
2.894%,
2/4/2030
b
118,122
Total
58,287,147
Foreign
Government
(<0.1%)
Sinopec
Group
Overseas
Development
2018,
Ltd.
133,000
2.150%,
5/13/2025
i
137,346
Total
137,346
Mortgage-Backed
Securities
(10.4%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
4,661,238
3.000%,
3/25/2050
4,887,712
2,406,706
3.000%,
4/1/2050
2,523,642
1,284,722
3.500%,
7/1/2047
1,359,379
Federal
National
Mortgage
Association
1,034,432
4.500%,
5/1/2048
1,120,294
1,952,618
3.500%,
10/1/2048
2,063,125
810,112
3.500%,
6/1/2049
856,940
2,272,001
3.500%,
8/1/2049
2,405,789
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
5,000,000
1.500%,
10/1/2035
e
5,114,453
6,950,000
2.000%,
10/1/2035
e
7,221,484
8,688,000
2.500%,
10/1/2035
e
9,070,815
5,050,000
2.000%,
11/1/2035
e
5,245,265
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
63
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Mortgage-Backed
Securities
(10.4%)
-
continued
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
$
11,075,000
2.000%,
10/1/2050
e
$
11,448,781
11,127,000
2.500%,
10/1/2050
e
11,670,310
4,525,000
2.000%,
11/1/2050
e
4,666,538
7,200,000
2.500%,
11/1/2050
e
7,536,022
2,632,791
4.000%,
7/1/2048
2,808,081
3,075,000
3.000%,
10/1/2049
e
3,221,183
Total
83,219,813
Technology
(2.1%)
Akamai
Technologies,
Inc.,
Convertible
1,007,000
0.375%,
9/1/2027
1,165,017
Apple,
Inc.
385,000
3.450%,
5/6/2024
424,301
111,000
1.125%,
5/11/2025
113,568
Baidu,
Inc.
137,000
3.075%,
4/7/2025
145,593
Black
Knight
InfoServ,
LLC
75,000
3.625%,
9/1/2028
i
75,797
Broadcom
Corporation
441,000
2.650%,
1/15/2023
458,088
171,000
3.125%,
1/15/2025
182,384
Broadcom,
Inc.
55,000
2.250%,
11/15/2023
57,176
CommScope
Technologies
Finance,
LLC
859,000
6.000%,
6/15/2025
i
870,639
Dell
International,
LLC/
EMC
Corporation
170,000
4.000%,
7/15/2024
i
183,674
56,000
5.850%,
7/15/2025
i
65,342
Diamond
1
Finance
Corporation
330,000
5.450%,
6/15/2023
i
361,792
Diamond
Sports
Group,
LLC
300,000
5.375%,
8/15/2026
i
212,250
530,000
6.625%,
8/15/2027
i
275,600
Fiserv,
Inc.
235,000
2.750%,
7/1/2024
251,220
Gartner,
Inc.
310,000
4.500%,
7/1/2028
i
324,787
210,000
3.750%,
10/1/2030
i
212,426
Global
Payments,
Inc.
52,000
2.650%,
2/15/2025
55,175
Hewlett
Packard
Enterprise
Company
106,000
2.250%,
4/1/2023
109,393
92,000
4.450%,
10/2/2023
101,164
Intuit,
Inc.
111,000
0.950%,
7/15/2025
112,038
J2
Global,
Inc.,
Convertible
221,000
1.750%,
11/1/2026
i
195,413
301,000
3.250%,
6/15/2029
344,399
Lumentum
Holdings,
Inc.,
Convertible
208,000
0.250%,
3/15/2024
290,796
Marvell
Technology
Group,
Ltd.
112,000
4.200%,
6/22/2023
120,913
Microchip
Technology,
Inc.,
Convertible
152,000
1.625%,
2/15/2027
234,182
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Technology
(2.1%)
-
continued
Micron
Technology,
Inc.
$
158,000
2.497%,
4/24/2023
$
164,065
NCR
Corporation
920,000
6.125%,
9/1/2029
i
972,090
Nuance
Communications,
Inc.,
Convertible
1,313,000
1.250%,
4/1/2025
2,325,717
NXP
BV/NXP
Funding,
LLC
165,000
4.875%,
3/1/2024
i
185,518
NXP
Funding,
LLC
56,000
2.700%,
5/1/2025
i
59,274
ON
Semiconductor
Corporation,
Convertible
630,000
1.625%,
10/15/2023
831,994
Open
Text
Corporation
410,000
4.125%,
2/15/2030
i
421,660
Oracle
Corporation
60,000
2.500%,
5/15/2022
61,876
166,000
2.500%,
4/1/2025
177,877
Panasonic
Corporation
163,000
2.536%,
7/19/2022
i
168,197
Plantronics,
Inc.
510,000
5.500%,
5/31/2023
i
453,900
PTC,
Inc.
160,000
3.625%,
2/15/2025
i
162,400
Qorvo,
Inc.
250,000
3.375%,
4/1/2031
i
254,281
Seagate
HDD
Cayman
116,000
4.250%,
3/1/2022
121,056
111,000
4.750%,
1/1/2025
121,841
Sensata
Technologies,
Inc.
530,000
3.750%,
2/15/2031
i
526,688
SS&C
Technologies,
Inc.
700,000
5.500%,
9/30/2027
i
743,904
Switch,
Ltd.
110,000
3.750%,
9/15/2028
i
111,100
Tencent
Holdings,
Ltd.
134,000
1.810%,
1/26/2026
i
136,617
Teradyne,
Inc.,
Convertible
148,000
1.250%,
12/15/2023
377,629
Texas
Instruments,
Inc.
167,000
1.375%,
3/12/2025
172,781
Total
System
Services,
Inc.
111,000
3.750%,
6/1/2023
119,002
Verint
Systems,
Inc.,
Convertible
282,000
1.500%,
6/1/2021
284,820
Vishay
Intertechnology,
Inc.,
Convertible
286,000
2.250%,
6/15/2025
276,758
Xerox
Holdings
Corporation
280,000
5.000%,
8/15/2025
i
276,716
Total
16,450,888
Transportation
(0.6%)
AerCap
Holdings
NV
424,000
5.875%,
10/10/2079
b
325,127
Air
Lease
Corporation
114,000
2.300%,
2/1/2025
111,938
111,000
3.375%,
7/1/2025
113,323
Air
Transport
Services
Group,
Inc.,
Convertible
118,000
1.125%,
10/15/2024
124,329
American
Airlines,
Inc.
100,000
11.750%,
7/15/2025
i
96,500
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
64
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Transportation
(0.6%)
-
continued
CSX
Corporation
$
110,000
3.700%,
11/1/2023
$
119,354
Delta
Air
Lines,
Inc.
440,000
7.000%,
5/1/2025
i
483,041
222,697
4.500%,
10/20/2025
i
228,543
J.B.
Hunt
Transport
Services,
Inc.
70,000
3.300%,
8/15/2022
72,867
Meritor,
Inc.,
Convertible
476,000
3.250%,
10/15/2037
493,850
Mileage
Plus
Holdings,
LLC
300,000
6.500%,
6/20/2027
i
312,375
Penske
Truck
Leasing
Company,
LP
113,000
3.375%,
2/1/2022
i
116,676
Ryder
System,
Inc.
238,000
3.500%,
6/1/2021
242,869
Southwest
Airlines
Company
56,000
4.750%,
5/4/2023
59,800
167,000
5.250%,
5/4/2025
183,892
Southwest
Airlines
Company,
Convertible
418,000
1.250%,
5/1/2025
545,490
Union
Pacific
Corporation
168,000
3.750%,
7/15/2025
191,263
United
Airlines
Pass
Through
Trust
70,000
3.700%,
12/1/2022
65,566
XPO
Logistics,
Inc.
300,000
6.125%,
9/1/2023
i
306,202
529,000
6.750%,
8/15/2024
i
560,317
Total
4,753,322
Utilities
(1.3%)
AES
Corporation
430,000
5.125%,
9/1/2027
457,993
Alabama
Power
Company
108,000
2.450%,
3/30/2022
110,982
Ameren
Corporation
109,000
2.500%,
9/15/2024
115,433
Berkshire
Hathaway
Energy
Company
114,000
4.050%,
4/15/2025
i
130,041
Calpine
Corporation
450,000
4.500%,
2/15/2028
i
460,863
CenterPoint
Energy,
Inc.
110,000
2.500%,
9/1/2022
113,671
105,000
2.500%,
9/1/2024
111,693
Dominion
Energy,
Inc.
110,000
2.715%,
8/15/2021
112,013
110,000
3.071%,
8/15/2024
118,265
375,000
4.650%,
12/15/2024
b,l
380,018
DTE
Energy
Company
178,000
3.300%,
6/15/2022
185,226
164,000
2.529%,
10/1/2024
174,310
Duke
Energy
Corporation
216,000
2.400%,
8/15/2022
223,254
370,000
4.875%,
9/16/2024
b,l
391,388
Edison
International
113,000
4.950%,
4/15/2025
123,666
Entergy
Corporation
111,000
0.900%,
9/15/2025
110,846
Evergy,
Inc.
106,000
2.450%,
9/15/2024
112,193
Eversource
Energy
109,000
2.500%,
3/15/2021
109,892
Principal
Amount
Long-Term
Fixed
Income
(50.1%)
Value
Utilities
(1.3%)
-
continued
Exelon
Generation
Company,
LLC
$
112,000
3.250%,
6/1/2025
$
122,418
FirstEnergy
Corporation
163,000
2.850%,
7/15/2022
167,067
116,000
2.050%,
3/1/2025
117,333
Florida
Power
&
Light
Company
111,000
2.850%,
4/1/2025
121,718
Georgia
Power
Company
114,000
2.100%,
7/30/2023
118,996
106,000
2.200%,
9/15/2024
111,804
GFL
Environmental,
Inc.
350,000
3.750%,
8/1/2025
i
349,125
NextEra
Energy
Operating
Partners,
LP
920,000
3.875%,
10/15/2026
i
952,200
NiSource,
Inc.
565,000
5.650%,
6/15/2023
b,l
560,763
111,000
0.950%,
8/15/2025
110,861
PG&E
Corporation
200,000
5.000%,
7/1/2028
194,000
180,000
5.250%,
7/1/2030
174,150
PPL
Capital
Funding,
Inc.
220,000
3.950%,
3/15/2024
241,544
PSEG
Power,
LLC
100,000
3.000%,
6/15/2021
101,623
Public
Service
Enterprise
Group,
Inc.
110,000
2.875%,
6/15/2024
117,682
Sempra
Energy
233,000
3.550%,
6/15/2024
252,231
240,000
4.875%,
10/15/2025
b,l
246,600
Southern
Company
351,000
4.000%,
1/15/2051
b
351,973
Suburban
Propane
Partners,
LP
380,000
5.875%,
3/1/2027
389,025
Talen
Energy
Supply,
LLC
390,000
7.625%,
6/1/2028
i
390,000
TerraForm
Power
Operating,
LLC
395,000
5.000%,
1/31/2028
i
432,397
TransCanada
Trust
768,000
5.875%,
8/15/2076
b
817,920
Vistra
Operations
Company,
LLC
570,000
5.000%,
7/31/2027
i
598,643
Total
10,581,820
Total
Long-Term
Fixed
Income
(cost
$394,724,429)
400,300,877
Shares
Common
Stock
(
26.1%
)
Value
Communications
Services
(1.8%)
3,714
Activision
Blizzard,
Inc.
300,648
1,350
Alphabet,
Inc.,
Class
A
n
1,978,560
738
Alphabet,
Inc.,
Class
C
n
1,084,565
301
AT&T,
Inc.
8,581
75,160
Auto
Trader
Group
plc
i
545,695
12,957
Carsales.com,
Ltd.
194,102
56
Charter
Communications,
Inc.
n
34,963
24,624
Comcast
Corporation
1,139,106
100
Daiichikosho
Company,
Ltd.
3,212
11,776
Deutsche
Telekom
AG
196,072
14,858
Discovery,
Inc.,
Class
A
k,n
323,459
11,055
DISH
Network
Corporation
n
320,927
4,658
Facebook,
Inc.
n
1,219,930
39,000
HKT
Trust
and
HKT,
Ltd.
51,765
1,272
Ipsos
SA
31,800
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
65
Shares
Common
Stock
(26.1%)
Value
Communications
Services
(1.8%)
-
continued
3,700
KDDI
Corporation
$
93,061
4,991
Live
Nation
Entertainment,
Inc.
n
268,915
63
Match
Group,
Inc.
n
6,971
47,682
Mediaset
Espana
Comunicacion
SA
n
176,592
300
Nintendo
Company,
Ltd.
170,007
3,300
Nippon
Telegraph
&
Telephone
Corporation
67,375
6,000
NTT
DOCOMO,
Inc.
220,477
19,884
QuinStreet,
Inc.
n
314,962
658
REA
Group,
Ltd.
52,396
3,234
Rightmove
plc
26,145
16,932
Seven
West
Media,
Ltd.
n
1,361
29,300
SoftBank
Corporation
327,408
3,000
SoftBank
Group
Corporation
185,624
13,500
TV
Asahi
Holdings
Corporation
214,387
21,834
Twitter,
Inc.
n
971,613
9,283
Uber
Technologies,
Inc.
n
338,644
25,938
Verizon
Communications,
Inc.
1,543,051
3,828
Walt
Disney
Company
474,978
3,951
Windstream
Services,
LLC
Rights
c,n
37,495
3,052
Wolters
Kluwer
NV
260,345
8,392
Zillow
Group,
Inc.
n
852,124
Total
14,037,316
Consumer
Discretionary
(3.0%)
1,500
ABC-MART,
Inc.
78,099
1,511
Amazon.com,
Inc.
n
4,757,731
800
AOKI
Holdings,
Inc.
4,023
11,062
Aptiv
plc
1,014,164
1,470
ARB
Corporation,
Ltd.
29,369
3,134
Aristocrat
Leisure,
Ltd.
68,348
1,700
Autobacs
Seven
Company,
Ltd.
22,143
441
AutoZone,
Inc.
n
519,339
28,919
B&M
European
Value
Retail
SA
184,365
2,639
Berkeley
Group
Holdings
plc
143,860
353
Booking
Holdings,
Inc.
n
603,870
1,100
Bridgestone
Corporation
34,770
3,267
Bunzl
plc
105,480
2,406
Burlington
Stores,
Inc.
n
495,853
13,911
Callaway
Golf
Company
266,257
6,661
Cedar
Fair,
LP
186,974
324
Chipotle
Mexican
Grill,
Inc.
n
402,962
2,200
Chiyoda
Company,
Ltd.
20,495
207
Churchill
Downs,
Inc.
33,911
211
Cie
Generale
des
Etablissements
Michelin
22,651
22,000
Citizen
Watch
Company,
Ltd.
n
61,716
2,011
Collins
Foods,
Ltd.
14,952
10,590
Cooper-Standard
Holdings,
Inc.
n
139,894
5,662
Crocs,
Inc.
n
241,937
5,016
D.R.
Horton,
Inc.
379,360
582
Darden
Restaurants,
Inc.
58,631
297
Deckers
Outdoor
Corporation
n
65,343
8,400
Denso
Corporation
368,187
5,833
Dick's
Sporting
Goods,
Inc.
337,614
7,079
Dollarama,
Inc.
271,347
4,771
Dometic
Group
AB
i,n
58,905
285
Domino's
Pizza
Enterprises,
Ltd.
16,296
1,117
Domino's
Pizza
Group
plc
5,257
779
Domino's
Pizza,
Inc.
331,293
100
Doutor
Nichires
Holdings
Company,
Ltd.
1,519
688
eBay,
Inc.
35,845
974
Emerald
Holding,
Inc.
1,987
Shares
Common
Stock
(26.1%)
Value
Consumer
Discretionary
(3.0%)
-
continued
885
Europris
ASA
i
$
4,537
200
Exedy
Corporation
2,605
100
Fast
Retailing
Company,
Ltd.
62,842
862
Five
Below,
Inc.
n
109,474
39,000
Galaxy
Entertainment
Group,
Ltd.
263,667
392
Grand
Canyon
Education,
Inc.
n
31,337
8,053
GVC
Holdings
plc
n
100,858
12,366
Harley-Davidson,
Inc.
303,462
94
Helen
of
Troy,
Ltd.
n
18,191
215
Hermes
International
185,171
5,395
Home
Depot,
Inc.
1,498,246
15,936
Husqvarna
AB
175,235
6,903
Industria
de
Diseno
Textil
SA
190,968
763
InterContinental
Hotels
Group
plc
n
40,050
1,200
Izumi
Company,
Ltd.
43,757
6,026
Leggett
&
Platt,
Inc.
248,090
8,114
Lowe's
Companies,
Inc.
1,345,788
2,368
Lululemon
Athletica,
Inc.
n
779,948
50
LVMH
Moet
Hennessy
Louis
Vuitton
SE
23,395
2,149
McDonald's
Corporation
471,684
19
Mercadolibre,
Inc.
n
20,567
2,268
Miller
Industries,
Inc.
69,333
1,400
Mohawk
Industries,
Inc.
n
136,626
28,569
Moneysupermarket.com
Group
plc
98,478
221
Netflix,
Inc.
n
110,507
8,000
NHK
Spring
Company,
Ltd.
51,222
2,000
Nihon
Unisys,
Ltd.
63,101
3,630
NIKE,
Inc.
455,710
6,600
Nissan
Motor
Company,
Ltd.
n
23,342
245
NVR,
Inc.
n
1,000,364
1,400
Onward
Holdings
Company,
Ltd.
3,627
400
Oriental
Land
Company,
Ltd.
56,098
2,520
Pandox
AB
n
28,890
660
Penn
National
Gaming,
Inc.
n
47,982
1,597
Planet
Fitness,
Inc.
n
98,407
2,831
Playa
Hotels
and
Resorts
NV
n
11,862
1,500
PLENUS
Company,
Ltd.
25,899
1,184
Premier
Investments,
Ltd.
17,601
11,275
Redrow
plc
n
58,665
1,929
Restaurant
Brands
International,
Inc.
110,937
2,441
RH
n
933,975
2,500
Rinnai
Corporation
243,853
4,000
Sangetsu
Company,
Ltd.
61,666
200
Sankyo
Company,
Ltd.
5,237
82
Scandic
Hotels
Group
AB
i
246
5,000
Sekisui
House,
Ltd.
88,604
600
SHIMAMURA
Company,
Ltd.
58,286
2,271
Sleep
Number
Corporation
n
111,075
2,000
Sony
Corporation
153,284
6,600
Sony
Corporation
ADR
506,550
8,692
Stoneridge,
Inc.
n
159,672
38,900
Sumitomo
Electric
Industries,
Ltd.
437,910
18,200
Sumitomo
Rubber
Industries,
Ltd.
169,062
1,933
Super
Retail
Group,
Ltd.
14,701
600
Takara
Standard
Company,
Ltd.
8,076
322
Tesla,
Inc.
n
138,141
5,456
Texas
Roadhouse,
Inc.
331,670
2,216
Thule
Group
AB
i
73,127
800
Toyoda
Gosei
Company,
Ltd.
18,369
900
Toyota
Motor
Corporation
59,733
119
Wayfair,
Inc.
n
34,630
800
Yum!
Brands,
Inc.
73,040
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
66
Shares
Common
Stock
(26.1%)
Value
Consumer
Discretionary
(3.0%)
-
continued
6,183
Zumiez,
Inc.
n
$
172,011
Total
23,626,188
Consumer
Staples
(1.1%)
2,400
Arcs
Company,
Ltd.
61,616
1,400
Asahi
Group
Holdings,
Ltd.
48,794
2,911
BJ's
Wholesale
Club
Holdings,
Inc.
n
120,952
1,507
British
American
Tobacco
plc
54,058
8,348
Bunge,
Ltd.
381,504
3,110
Carlsberg
AS
418,986
6,409
Colgate-Palmolive
Company
494,454
1,001
Costco
Wholesale
Corporation
355,355
25,824
Cott
Corporation
366,701
661
Elior
Participations
SCA
i
3,069
3,086
ForFarmers
BV
18,887
746
Glanbia
plc
7,703
18,371
Hain
Celestial
Group,
Inc.
n
630,125
13,000
Japan
Tobacco,
Inc.
237,169
1,729
John
B.
Sanfilippo
&
Son,
Inc.
130,332
800
Kao
Corporation
60,057
2,000
Kewpie
Corporation
41,136
2,100
Kimberly-Clark
Corporation
310,086
6,235
Lamb
Weston
Holdings,
Inc.
413,193
20
Lindt
&
Spruengli
AG
168,819
477
L'Oreal
SA
155,231
800
Ministop
Company,
Ltd.
11,245
9,646
Nestle
SA
1,147,990
100
Noevir
Holdings
Company,
Ltd.
4,680
3,419
Orkla
ASA
34,506
3,886
PepsiCo,
Inc.
538,600
1,557
Philip
Morris
International,
Inc.
116,759
3,114
Procter
&
Gamble
Company
432,815
289
Royal
Unibrew
AS
29,788
3,100
Seven
&
I
Holdings
Company,
Ltd.
96,317
2,800
Sugi
Holdings
Company,
Ltd.
197,971
2,800
Sundrug
Company,
Ltd.
105,546
8,137
Turning
Point
Brands,
Inc.
227,022
300
Unicharm
Corporation
13,417
1,750
Unilever
NV
106,273
11,001
Wal-Mart
Stores,
Inc.
1,539,150
Total
9,080,306
Energy
(0.9%)
16,619
BP
plc
ADR
290,168
31,183
CGG
SA
n
20,797
1,036
Cheniere
Energy,
Inc.
n
47,936
6,406
Chevron
Corporation
461,232
77
Cimarex
Energy
Company
1,873
4,510
ConocoPhillips
148,108
544
Core
Laboratories
NV
8,301
3,974
Diamondback
Energy,
Inc.
119,697
16,799
Enbridge,
Inc.
490,531
34,800
Eneos
Holdings,
Inc.
124,162
22,999
Eni
SPA
179,763
32,338
Enterprise
Products
Partners,
LP
510,617
2,970
EOG
Resources,
Inc.
106,742
18,866
EQT
Corporation
243,937
12,867
Equinor
ASA
182,295
6,828
Exxon
Mobil
Corporation
234,405
422
Gaztransport
Et
Technigaz
SA
40,243
4,172
Gibson
Energy,
Inc.
67,614
9,599
Halliburton
Company
115,668
16,796
Helmerich
&
Payne,
Inc.
246,061
12,571
John
Wood
Group
plc
n
34,515
Shares
Common
Stock
(26.1%)
Value
Energy
(0.9%)
-
continued
39,700
Kinder
Morgan,
Inc.
$
489,501
457
Lundin
Energy
AB
9,063
9,709
Marathon
Oil
Corporation
39,710
9,282
Marathon
Petroleum
Corporation
272,334
91,459
McDermott
International,
Inc.
n
219,502
6,500
MPLX,
LP
102,310
9,609
Nine
Energy
Service,
Inc.
n
10,858
2,146
OMV
AG
n
58,717
3,074
PDC
Energy,
Inc.
n
38,102
4,599
Pioneer
Natural
Resources
Company
395,468
18,481
Royal
Dutch
Shell
plc,
Class
A
230,706
29,850
Royal
Dutch
Shell
plc,
Class
B
361,994
2,193
SBM
Offshore
NV
34,982
3,481
Schlumberger,
Ltd.
54,164
7,338
SEACOR
Holdings,
Inc.
n
213,389
2,304
Subsea
7
SA
n
16,560
3,311
TC
Energy
Corporation
139,000
7,870
Tenaris
SA
ADR
77,520
10,930
Total
SE
375,366
32,511
Tullow
Oil
plc
n
6,361
5,174
Valero
Energy
Corporation
224,138
1,018
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
17,292
5,200
Williams
Companies,
Inc.
102,180
299
Woodside
Petroleum,
Ltd.
3,795
69,458
WPX
Energy,
Inc.
n
340,344
Total
7,508,021
Financials
(3.6%)
12,977
AB
Industrivarden
n
345,106
9,170
Aflac,
Inc.
333,329
7,400
AIA
Group,
Ltd.
73,557
8,202
Air
Lease
Corporation
241,303
4,482
Allianz
SE
860,234
19,775
Ally
Financial,
Inc.
495,759
2,889
American
Express
Company
289,622
1,332
American
Financial
Group,
Inc.
89,217
6,870
American
International
Group,
Inc.
189,131
909
Aon
plc
187,527
42
Ares
Capital
Corporation
586
2,579
Arthur
J.
Gallagher
&
Company
272,291
4,968
Associated
Banc-Corp
62,696
27,705
Assured
Guaranty,
Ltd.
595,103
831
ASX,
Ltd.
48,585
2,833
Baloise
Holding
AG
417,087
31,436
Bank
of
America
Corporation
757,293
296
Bank
of
Marin
Bancorp
8,572
6,033
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
134,415
1,517
Berkshire
Hathaway,
Inc.
n
323,030
3,257
Berkshire
Hills
Bancorp,
Inc.
32,928
949
BlackRock,
Inc.
534,809
2,348
Blackstone
Mortgage
Trust,
Inc.
51,586
841
Boston
Private
Financial
Holdings,
Inc.
4,642
15,298
Bridgewater
Bancshares,
Inc.
n
145,178
8,650
Capital
One
Financial
Corporation
621,589
6,549
Charles
Schwab
Corporation
237,270
4,246
Chubb,
Ltd.
493,046
30,056
CI
Financial
Corporation
381,244
17,459
Citigroup,
Inc.
752,657
1,302
Cohen
&
Steers,
Inc.
72,573
8,429
Columbia
Banking
System,
Inc.
201,032
3,280
Comerica,
Inc.
125,460
1,637
Commonwealth
Bank
of
Australia
75,329
1,187
Community
Trust
Bancorp,
Inc.
33,545
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
67
Shares
Common
Stock
(26.1%)
Value
Financials
(3.6%)
-
continued
1,814
Credit
Agricole
SA
n
$
15,827
26,300
DBS
Group
Holdings,
Ltd.
386,646
1,778
Deutsche
Boerse
AG
311,721
6,746
Deutsche
Pfandbriefbank
AG
i,n
44,726
5,420
Discover
Financial
Services
313,168
26,312
DnB
ASA
n
366,542
1,951
Ellington
Residential
Mortgage
REIT
21,656
5,423
Euronext
NV
i
679,322
3,183
Evercore,
Inc.
208,359
20,731
Everi
Holdings,
Inc.
n
171,031
649
FactSet
Research
Systems,
Inc.
217,337
295
FBL
Financial
Group,
Inc.
14,219
355
Financial
Institutions,
Inc.
5,467
4,606
First
BanCorp
24,043
2,470
First
Busey
Corporation
39,248
2,876
First
Financial
Bancorp
34,526
8,631
First
Interstate
BancSystem,
Inc.
274,897
434
First
Merchants
Corporation
10,051
229
First
Mid-Illinois
Bancshares,
Inc.
5,714
32,068
FlexiGroup,
Ltd.
24,993
14,500
FS
KKR
Capital
Corporation
229,970
15,900
FS
KKR
Capital
Corporation
II
233,889
7,234
Fulton
Financial
Corporation
67,493
2,815
Glacier
Bancorp,
Inc.
90,221
892
Goldman
Sachs
Group,
Inc.
179,265
19,300
Golub
Capital
BDC,
Inc.
255,532
1,469
Great
Southern
Bancorp,
Inc.
53,207
783
Great
Western
Bancorp,
Inc.
9,748
281
Groupe
Bruxelles
Lambert
SA
25,333
4,263
Hancock
Whitney
Corporation
80,187
4,991
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Inc.
210,970
8,629
Hartford
Financial
Services
Group,
Inc.
318,065
9,687
Heartland
Financial
USA,
Inc.
290,562
19,421
Heritage
Commerce
Corporation
129,247
923
Hometrust
Bancshares,
Inc.
12,534
3,375
Hope
Bancorp,
Inc.
25,599
1,320
Houlihan
Lokey,
Inc.
77,946
14,912
HSBC
Holdings
plc
58,340
243
IGM
Financial,
Inc.
5,572
417
Independent
Bank
Corporation
5,242
5,909
Interactive
Brokers
Group,
Inc.
285,582
103,476
Israel
Discount
Bank,
Ltd.
279,147
13,268
J.P.
Morgan
Chase
&
Company
1,277,310
8,000
Japan
Post
Bank
Company,
Ltd.
62,398
1,200
Japan
Post
Holdings
Company,
Ltd.
8,183
4,280
Julius
Baer
Group,
Ltd.
181,782
6,753
Kemper
Corporation
451,303
33,003
KeyCorp
393,726
842
L
E
Lundbergforetagen
AB
n
41,602
621
Lakeland
Bancorp,
Inc.
6,179
5,284
Laurentian
Bank
of
Canada
k
108,533
514
Markel
Corporation
n
500,482
86
MarketAxess
Holdings,
Inc.
41,417
940
Marsh
&
McLennan
Companies,
Inc.
107,818
2,231
Mediobanca
SPA
17,482
8,274
Meridian
Bancorp,
Inc.
85,636
7,980
MetLife,
Inc.
296,617
3,062
MidWestOne
Financial
Group,
Inc.
54,718
14,700
Mitsubishi
UFJ
Financial
Group,
Inc.
58,666
2,304
Mizrahi
Tefahot
Bank,
Ltd.
40,868
Shares
Common
Stock
(26.1%)
Value
Financials
(3.6%)
-
continued
298
Moody's
Corporation
$
86,375
12,750
Morgan
Stanley
616,463
900
MS
and
AD
Insurance
Group
Holdings,
Inc.
24,249
4,225
National
Bank
of
Canada
209,862
482
OFG
Bancorp
6,006
1,026
Onex
Corporation
45,770
10,200
ORIX
Corporation
127,401
935
PacWest
Bancorp
15,970
1,942
Paragon
Banking
Group
plc
8,326
1,842
Pargesa
Holding
SA
152,279
254
Peapack-Gladstone
Financial
Corporation
3,848
3,424
Popular,
Inc.
124,188
2,611
Primerica,
Inc.
295,409
206
QCR
Holdings,
Inc.
5,646
17,637
Radian
Group,
Inc.
257,677
275
Raiffeisen
Bank
International
AG
n
4,209
5,160
Raymond
James
Financial,
Inc.
375,442
100
Ricoh
Leasing
Company,
Ltd.
2,706
7,414
Royal
Bank
of
Canada
520,547
1,604
S&P
Global,
Inc.
578,402
7,606
Santander
Consumer
USA
Holdings,
Inc.
138,353
9,360
Seacoast
Banking
Corporation
of
Florida
n
168,761
1,682
Selective
Insurance
Group,
Inc.
86,606
2,200
Senshu
Ikeda
Holdings,
Inc.
3,673
773
Simmons
First
National
Corporation
12,256
5,100
Singapore
Exchange,
Ltd.
34,398
13,600
Sixth
Street
Specialty
Lending,
Inc.
234,056
1,527
St.
James's
Place
plc
18,370
1,569
State
Auto
Financial
Corporation
21,589
5,700
Sumitomo
Mitsui
Financial
Group,
Inc.
159,377
13,382
Sun
Life
Financial,
Inc.
545,310
1,172
Swiss
Life
Holding
AG
443,475
12,033
Synovus
Financial
Corporation
254,739
2,186
T.
Rowe
Price
Group,
Inc.
280,289
524
TMX
Group,
Ltd.
53,890
2,500
Tokio
Marine
Holdings,
Inc.
109,386
842
Topdanmark
AS
40,757
14,456
Toronto-Dominion
Bank
669,304
8,916
Triumph
Bancorp,
Inc.
n
277,644
10,310
Truist
Financial
Corporation
392,296
302
Washington
Federal,
Inc.
6,300
210
Washington
Trust
Bancorp,
Inc.
6,439
26,909
Wells
Fargo
&
Company
632,631
15,713
Western
Alliance
Bancorp
496,845
20,576
Zions
Bancorporations
NA
601,231
Total
28,463,945
Health
Care
(3.9%)
5,275
Abbott
Laboratories
574,078
1,430
AbbVie,
Inc.
125,254
3,202
Alexion
Pharmaceuticals,
Inc.
n
366,405
2,139
Align
Technology,
Inc.
n
700,223
3,230
Amgen,
Inc.
820,937
4,545
AMN
Healthcare
Services,
Inc.
n
265,701
2,217
Anthem,
Inc.
595,464
4,700
Astellas
Pharmaceutical,
Inc.
70,061
2,151
Baxter
International,
Inc.
172,983
1,614
Becton,
Dickinson
and
Company
375,546
1,414
Biogen,
Inc.
n
401,124
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
68
Shares
Common
Stock
(26.1%)
Value
Health
Care
(3.9%)
-
continued
2,381
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
n
$
154,789
3,885
Catalent,
Inc.
n
332,789
8,910
Centene
Corporation
n
519,720
2,767
Cerner
Corporation
200,026
76
Chemed
Corporation
36,507
5,300
Chugai
Pharmaceutical
Company,
Ltd.
237,840
3,229
Cigna
Holding
Company
547,025
3,252
CSL,
Ltd.
671,756
5,747
CVS
Health
Corporation
335,625
5,600
Daiichi
Sankyo
Company,
Ltd.
171,907
9,757
Danaher
Corporation
2,100,975
8,208
Edwards
Lifesciences
Corporation
n
655,163
2,029
Eli
Lilly
and
Company
300,333
3,468
Gilead
Sciences,
Inc.
219,143
50,856
GlaxoSmithKline
plc
953,427
8,283
GlaxoSmithKline
plc
ADR
311,772
174
Grifols
SA
5,003
7,568
Halozyme
Therapeutics,
Inc.
n
198,887
3,110
HCA
Healthcare,
Inc.
387,755
522
Humana,
Inc.
216,051
24
IDEXX
Laboratories,
Inc.
n
9,435
177
Illumina,
Inc.
n
54,707
564
Incyte
Corporation
n
50,613
1,003
Intuitive
Surgical,
Inc.
n
711,669
2,316
IQVIA
Holding,
Inc.
n
365,071
4,294
Jazz
Pharmaceuticals,
Inc.
n
612,281
14,441
Johnson
&
Johnson
2,149,976
1,000
KYORIN
Holdings,
Inc.
20,271
337
Laboratory
Corporation
of
America
Holdings
n
63,447
1,987
LHC
Group,
Inc.
n
422,357
66
Lifco
AB
5,105
330
LNA
Sante
18,323
1,700
M3,
Inc.
105,156
161
Masimo
Corporation
n
38,006
900
Medipal
Holdings
Corporation
18,047
14,525
Medtronic
plc
1,509,438
16,053
Merck
&
Company,
Inc.
1,331,596
325
Mettler-Toledo
International,
Inc.
n
313,869
16,722
Novartis
AG
1,451,876
12,931
Novo
Nordisk
AS
895,919
2,094
Novo
Nordisk
AS
ADR
145,386
900
Olympus
Corporation
18,716
9,415
Optinose,
Inc.
n
36,719
771
PerkinElmer,
Inc.
96,768
471
Pfizer,
Inc.
17,286
488
Quest
Diagnostics,
Inc.
55,871
1,431
Quidel
Corporation
n
313,933
6,457
Recordati
SPA
330,762
4,563
Roche
Holding
AG
1,563,013
2,155
Sanofi
215,958
1,200
Sawai
Pharmaceutical
Company,
Ltd.
60,547
1,296
Sonova
Holding
AG
n
328,426
222
STERIS
plc
39,114
3,098
Stryker
Corporation
645,530
5,744
Syneos
Health,
Inc.
n
305,351
100
Sysmex
Corporation
9,568
5,504
Tactile
Systems
Technology,
Inc.
n
201,391
5,300
Takeda
Pharmaceutical
Company,
Ltd.
189,438
299
Tecan
Group
AG
148,697
565
Teladoc
Health,
Inc.
k,n
123,871
1,100
Terumo
Corporation
43,796
Shares
Common
Stock
(26.1%)
Value
Health
Care
(3.9%)
-
continued
2,465
Thermo
Fisher
Scientific,
Inc.
$
1,088,347
100
Toho
Holdings
Company,
Ltd.
2,156
500
Tsumura
&
Company
15,582
2,931
UnitedHealth
Group,
Inc.
913,798
2,970
Universal
Health
Services,
Inc.
317,849
781
Veeva
Systems,
Inc.
n
219,609
1,135
Vertex
Pharmaceuticals,
Inc.
n
308,856
1,392
Zimmer
Biomet
Holdings,
Inc.
189,507
2,706
Zoetis,
Inc.
447,491
Total
31,564,767
Industrials
(3.7%)
603
3M
Company
96,589
7
A.P.
Moller
-
Maersk
AS,
Class
A
10,247
85
A.P.
Moller
-
Maersk
AS,
Class
B
134,375
5,129
Aalberts
NV
184,438
776
Aerojet
Rocketdyne
Holdings,
Inc.
n
30,955
2,626
AGCO
Corporation
195,033
207
Akzo
Nobel
NV
20,922
1,937
Allegion
plc
191,589
18,999
Altra
Industrial
Motion
Corporation
702,393
6,379
AMETEK,
Inc.
634,073
27,301
Arconic,
Inc.
456,473
3,450
ASGN,
Inc.
n
219,282
12,937
Assa
Abloy
AB
302,469
11,919
Atlas
Copco
AB,
Class
A
568,284
3,629
Atlas
Copco
AB,
Class
B
151,452
2,063
Boeing
Company
340,931
2,220
Canadian
National
Railway
Company
236,430
2,300
Carlisle
Companies,
Inc.
281,451
16,510
Carrier
Global
Corporation
504,215
2,287
CIA
De
Distribucion
Integral
39,039
753
Cintas
Corporation
250,621
413
CSW
Industrials,
Inc.
31,904
3,856
CSX
Corporation
299,496
4,670
Curtiss-Wright
Corporation
435,524
200
Daikin
Industries,
Ltd.
36,955
10,930
Delta
Air
Lines,
Inc.
334,239
1,373
Deutsche
Post
AG
62,301
1,405
Eaton
Corporation
plc
143,352
6,830
Emerson
Electric
Company
447,843
1,899
Encore
Wire
Corporation
88,152
647
Expeditors
International
of
Washington,
Inc.
58,566
7,649
Experian
plc
287,408
5,249
Fortive
Corporation
400,026
3,302
Forward
Air
Corporation
189,469
613
Geberit
AG
362,666
6,247
General
Dynamics
Corporation
864,772
277
Gorman-Rupp
Company
8,160
6,593
Greenbrier
Companies,
Inc.
193,834
1,300
GS
Yuasa
Corporation
22,465
28,732
GWA
Group,
Ltd.
57,488
1,900
Hanwa
Company,
Ltd.
38,033
3,631
Heico
Corporation
380,020
4,971
Helios
Technologies,
Inc.
180,944
4,857
Honeywell
International,
Inc.
799,511
1,884
IDEX
Corporation
343,660
1,651
Illinois
Tool
Works,
Inc.
318,990
7,000
Inaba
Denki
Sangyo
Company,
Ltd.
175,824
524
JB
Hunt
Transport
Services,
Inc.
66,223
1,233
Jet2
plc
10,675
15,880
Johnson
Controls
International
plc
648,698
4,300
Kamigumi
Company,
Ltd.
84,733
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
69
Shares
Common
Stock
(26.1%)
Value
Industrials
(3.7%)
-
continued
2,240
Kansas
City
Southern
$
405,059
7,600
Kinden
Corporation
134,226
7,106
Koninklijke
Philips
NV
n
335,541
76
Kuehne
&
Nagel
International
AG
14,757
580
L3Harris
Technologies,
Inc.
98,507
1,815
Landstar
System,
Inc.
227,764
9,752
Legrand
SA
779,556
947
Lennox
International,
Inc.
258,162
2,913
Lincoln
Electric
Holdings,
Inc.
268,113
1,838
Linde
Public
Limited
Company
437,683
1,491
Lockheed
Martin
Corporation
571,470
4,880
Manpower,
Inc.
357,850
27,800
Marubeni
Corporation
157,832
17,093
Meritor,
Inc.
n
357,927
2,324
Middleby
Corporation
n
208,486
17,000
Mitsubishi
Corporation
406,901
12,700
Mitsubishi
Electric
Corporation
172,329
2,800
Mitsuboshi
Belting,
Ltd.
45,565
24,800
Mitsui
&
Company,
Ltd.
426,134
2,894
NAPCO
Security
Technologies,
Inc.
n
68,009
6,337
National
Express
Group
plc
n
12,455
100
Nikkon
Holdings
Company,
Ltd.
2,168
300
Nishimatsu
Construction
Company,
Ltd.
5,959
10,300
Nitto
Kogyo
Corporation
204,674
4,738
Nobina
AB
i,n
31,147
553
Nordson
Corporation
106,076
846
Norfolk
Southern
Corporation
181,036
9,766
Nutrien,
Ltd.
383,120
2,803
Old
Dominion
Freight
Line,
Inc.
507,119
3,740
Otis
Worldwide
Corporation
233,451
14,960
PageGroup
plc
n
72,118
3,461
Parker-Hannifin
Corporation
700,299
7,908
Patrick
Industries,
Inc.
454,868
11,468
Raven
Industries,
Inc.
246,791
7,490
Raytheon
Technologies
Corporation
430,975
2,000
Recruit
Holdings
Company,
Ltd.
79,431
3,397
Redde
Northgate
plc
8,086
30,304
RELX
plc
674,512
3,096
Ritchie
Brothers
Auctioneers,
Inc.
183,438
2,637
Rockwell
Automation,
Inc.
581,933
1,729
Saia,
Inc.
n
218,096
1,583
Sandvik
AB
n
30,956
200
Sanwa
Holdings
Corporation
2,121
6,888
Schneider
Electric
SE
856,176
7,884
SEEK,
Ltd.
121,622
4,852
Signify
NV
i,n
179,462
3,487
SKF
AB
71,939
91,900
Sojitz
Corporation
k
208,560
19,673
Southwest
Airlines
Company
737,737
1,624
Spirax-Sarco
Engineering
plc
231,262
532
Spirit
Aerosystems
Holdings,
Inc.
10,060
1,925
Stanley
Black
&
Decker,
Inc.
312,235
20,600
Sumitomo
Corporation
248,323
700
Taikisha,
Ltd.
19,416
300
Taisei
Corporation
10,154
259
Teledyne
Technologies,
Inc.
n
80,344
1,633
TFI
International,
Inc.
68,285
8,353
Timken
Company
452,900
2,700
Toppan
Forms
Company,
Ltd.
25,703
2,629
Transcontinental,
Inc.
32,459
7,731
Transurban
Group
78,940
2,500
Tsubakimoto
Chain
Company
58,813
3,600
Tutor
Perini
Corporation
n
40,068
Shares
Common
Stock
(26.1%)
Value
Industrials
(3.7%)
-
continued
2,282
Union
Pacific
Corporation
$
449,257
76
United
Parcel
Service,
Inc.
12,664
5,484
United
Rentals,
Inc.
n
956,958
1,024
Valmont
Industries,
Inc.
127,160
1,636
Verisk
Analytics,
Inc.
303,167
1,600
Yuasa
Trading
Company,
Ltd.
50,001
Total
29,749,557
Information
Technology
(5.4%)
3,243
Accenture
plc
732,886
1,966
Adobe,
Inc.
n
964,185
2,168
Advanced
Energy
Industries,
Inc.
n
136,454
32,514
Advanced
Micro
Devices,
Inc.
n
2,665,823
800
Advantest
Corporation
38,912
8,758
Agilysys,
Inc.
n
211,593
6,089
Akamai
Technologies,
Inc.
n
673,078
6,228
Alliance
Data
Systems
Corporation
261,451
4,961
Amphenol
Corporation
537,127
461
Analog
Devices,
Inc.
53,817
2,440
ANSYS,
Inc.
n
798,441
46,081
Apple,
Inc.
5,336,641
220
ASM
International
NV
31,536
1,987
ASML
Holding
NV
733,949
625
Automatic
Data
Processing,
Inc.
87,181
100
Azbil
Corporation
3,747
1,578
BE
Semiconductor
Industries
NV
67,652
2,347
Blackline,
Inc.
n
210,362
2,875
Broadcom,
Ltd.
1,047,420
1,163
Broadridge
Financial
Solutions,
Inc.
153,516
304
Cadence
Design
Systems,
Inc.
n
32,416
3,900
Canon,
Inc.
64,688
557
Capgemini
SA
71,461
1,570
CDW
Corporation
187,662
9,687
CGI,
Inc.
n
657,513
16,070
Change
Healthcare,
Inc.
n
233,176
11,075
Ciena
Corporation
n
439,567
36,096
Cisco
Systems,
Inc.
1,421,821
500
Computer
Engineering
&
Consulting,
Ltd.
7,758
4,596
Computer
Services,
Inc.
284,952
14,881
Computershare,
Ltd.
131,648
829
Dialog
Semiconductor
plc
n
36,132
4,368
Dolby
Laboratories,
Inc.
289,511
16,723
Dropbox,
Inc.
n
322,085
600
DTS
Corporation
12,769
351
Fair
Isaac
Corporation
n
149,308
3,500
Fuji
Soft,
Inc.
180,480
595
Gartner,
Inc.
n
74,345
24,713
Halma
plc
746,629
1,800
Hitachi,
Ltd.
60,947
1,500
Hoya
Corporation
169,374
5,245
II-VI,
Inc.
n
212,737
1,054
Intel
Corporation
54,576
218
International
Business
Machines
Corporation
26,524
1,287
Intuit,
Inc.
419,832
600
ITOCHU
Techno-Solutions
Corporation
22,761
391
Jack
Henry
&
Associates,
Inc.
63,573
500
Japan
Material
Company,
Ltd.
7,010
100
Kanematsu
Electronics,
Ltd.
4,062
700
Keyence
Corporation
327,236
765
Lam
Research
Corporation
253,789
600
Lasertec
Corporation
49,319
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
70
Shares
Common
Stock
(26.1%)
Value
Information
Technology
(5.4%)
-
continued
5,773
Lattice
Semiconductor
Corporation
n
$
167,186
1,039
Littelfuse,
Inc.
184,256
2,072
Lumentum
Holdings,
Inc.
n
155,669
5,236
MasterCard,
Inc.
1,770,658
5,185
Microchip
Technology,
Inc.
532,811
18,173
Micron
Technology,
Inc.
n
853,404
26,023
Microsoft
Corporation
5,473,418
569
Motorola
Solutions,
Inc.
89,225
500
Murata
Manufacturing
Company,
Ltd.
32,514
7,318
National
Instruments
Corporation
261,253
11,200
NEC
Networks
&
System
Integration
Corporation
215,291
1,732
Nice,
Ltd.
ADR
k,n
393,216
500
NS
Solutions
Corporation
15,406
900
NSD
Company,
Ltd.
17,677
300
NTT
Data
Corporation
3,839
39,176
Nuance
Communications,
Inc.
n
1,300,251
1,786
NVIDIA
Corporation
966,619
100
OBIC
Company,
Ltd.
17,586
5,550
ON
Semiconductor
Corporation
n
120,380
13,099
Oracle
Corporation
782,010
600
Oracle
Corporation
Japan
64,786
500
Otsuka
Corporation
25,551
1,354
Paychex,
Inc.
108,009
3,279
PayPal
Holdings,
Inc.
n
646,061
2,639
Plexus
Corporation
n
186,393
4,960
QUALCOMM,
Inc.
583,693
1,700
Ryoyo
Electro
Corporation
k
47,223
15,867
Sabre
Corporation
103,294
1,582
Sage
Group
plc
14,702
796
Salesforce.com,
Inc.
n
200,051
435
Samsung
Electronics
Company,
Ltd.
GDR
551,547
529
SAP
SE
82,375
1,569
ServiceNow,
Inc.
n
760,965
95
Skyworks
Solutions,
Inc.
13,823
2,556
Square,
Inc.
n
415,478
1,893
Synopsys,
Inc.
n
405,064
625
Technology
One,
Ltd.
3,581
286
Teradyne,
Inc.
22,726
10,079
Texas
Instruments,
Inc.
1,439,180
1,900
TIS,
Inc.
40,356
900
Tokyo
Electron,
Ltd.
235,129
719
VeriSign,
Inc.
n
147,287
7,051
Visa,
Inc.
1,409,988
1,404
VMware,
Inc.
k,n
201,713
3,283
Workiva,
Inc.
n
183,060
107
Worldline
SA
i,n
8,762
Total
43,014,898
Materials
(1.2%)
3,095
Air
Liquide
SA
490,590
302
Air
Products
and
Chemicals,
Inc.
89,954
8,500
Air
Water,
Inc.
114,960
12,387
Axalta
Coating
Systems,
Ltd.
n
274,620
6,806
Ball
Corporation
565,715
6,433
BHP
Group,
Ltd.
166,188
1,111
Buzzi
Unicem
SPA
25,813
3,653
Centamin
plc
9,537
12,000
CF
Industries
Holdings,
Inc.
368,520
88
Christian
Hansen
Holding
AS
9,769
2,956
Croda
International
plc
238,449
6,810
Eastman
Chemical
Company
531,997
2,979
Ecolab,
Inc.
595,323
Shares
Common
Stock
(26.1%)
Value
Materials
(1.2%)
-
continued
19,602
Element
Solutions,
Inc.
n
$
206,017
121
EMS-CHEMIE
Holding
AG
108,714
286
Eramet
SA
n
7,219
48
Givaudan
SA
207,255
9,410
Granges
AB
n
83,990
14,489
Hexpol
AB
n
129,606
11,408
Hochschild
Mining
plc
n
32,168
1,329
Holmen
AB
49,313
205
IAMGOLD
Corporation
n
785
414
IMCD
NV
49,239
43,298
Ivanhoe
Mines,
Ltd.
n
157,382
5,284
Koninklijke
DSM
NV
869,919
7,600
Kyoei
Steel,
Ltd.
97,687
1,000
Lintec
Corporation
23,285
12,133
Louisiana-Pacific
Corporation
358,045
470
Martin
Marietta
Materials,
Inc.
110,619
100
Nippon
Steel
Trading
Corporation
2,857
622
Novozymes
AS
39,094
6,420
Nucor
Corporation
288,001
5,165
Ramelius
Resources,
Ltd.
7,801
2,320
Rio
Tinto
plc
139,601
2,550
Rio
Tinto,
Ltd.
174,169
19,123
Sandfire
Resources,
Ltd.
56,514
508
Sherwin-Williams
Company
353,944
300
Shin-Etsu
Chemical
Company,
Ltd.
39,256
1,553
Sika
AG
381,342
6,612
Silver
Lake
Resources,
Ltd.
n
11,099
11,232
Steel
Dynamics,
Inc.
321,572
21,100
Sumitomo
Chemical
Company,
Ltd.
69,841
2,521
Symrise
AG
348,209
1,300
Taiyo
Holdings
Company,
Ltd.
68,074
5,600
Toagosei
Company,
Ltd.
60,016
38,400
Toray
Industries,
Inc.
175,680
3,800
Ube
Industries,
Ltd.
64,172
3,470
UFP
Technologies,
Inc.
n
143,727
2,582
United
States
Lime
&
Minerals,
Inc.
232,638
4,215
W.
R.
Grace
&
Company
169,822
353
Wacker
Chemie
AG
34,257
3,110
Yara
International
ASA
119,672
Total
9,274,036
Real
Estate
(1.1%)
1,683
Agree
Realty
Corporation
107,106
1,899
Alexandria
Real
Estate
Equities,
Inc.
303,840
4,868
Allied
Properties
REIT
131,064
6,628
Alstria
Office
REIT
AG
92,165
15,079
American
Campus
Communities,
Inc.
526,559
1,095
American
Tower
Corporation
264,694
93,600
Ascendas
REIT
223,978
1,640
AvalonBay
Communities,
Inc.
244,918
4,338
Camden
Property
Trust
385,995
5,684
Castellum
AB
129,108
4,248
CBRE
Group,
Inc.
n
199,529
5,531
Choice
Properties
REIT
53,086
177
Cofinimmo
SA
26,616
3,354
Colliers
International
Group,
Inc.
223,678
440
Community
Healthcare
Trust,
Inc.
20,574
2,500
Daito
Trust
Construction
Company,
Ltd.
221,612
2,133
Digital
Realty
Trust,
Inc.
313,039
9,850
Douglas
Emmett,
Inc.
247,235
9,640
Duke
Realty
Corporation
355,716
631
EastGroup
Properties,
Inc.
81,607
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
71
Shares
Common
Stock
(26.1%)
Value
Real
Estate
(1.1%)
-
continued
1,864
Entra
ASA
i,k
$
26,195
6,514
Essential
Properties
Realty
Trust,
Inc.
119,336
470
Essex
Property
Trust,
Inc.
94,371
5,150
First
Industrial
Realty
Trust,
Inc.
204,970
5,673
Four
Corners
Property
Trust,
Inc.
145,172
2
Frontier
Real
Estate
Investment
Corporation
6,813
3
Fukuoka
REIT
Corporation
3,896
827
Getty
Realty
Corporation
21,510
7,118
Granite
REIT
413,112
2
Hankyu
REIT,
Inc.
2,329
3,189
Healthcare
Realty
Trust,
Inc.
96,053
39,970
Host
Hotels
&
Resorts,
Inc.
431,276
8,000
Hysan
Development
Company,
Ltd.
24,059
522
Industrial
Logistics
Properties
Trust
11,416
44
Invesco
Office
J-Reit,
Inc.
6,095
2,070
iSTAR
Financial,
Inc.
24,447
20
Japan
Hotel
REIT
Investment
Corporation
9,882
4
Japan
Prime
Realty
Investment
Corporation
12,410
1,315
Kilroy
Realty
Corporation
68,327
1,282
Kungsleden
AB
12,136
244
LEG
Immobilien
AG
34,780
6,567
Lexington
Realty
Trust
68,625
24,200
Mapletree
Commercial
Trust
34,765
14
Mori
Trust
Sogo
REIT,
Inc.
17,708
7,808
National
Storage
Affiliates
Trust
255,400
13
Nomura
Real
Estate
Master
Fund,
Inc.
16,286
725
Plymouth
Industrial
REIT,
Inc.
8,947
4,191
PSP
Swiss
Property
AG
506,276
10,337
Quebecor,
Inc.
258,590
3,859
Rayonier,
Inc.
REIT
102,032
3,436
Realty
Income
Corporation
208,737
17,000
Road
King
Infrastructure,
Ltd.
20,315
2,170
Service
Properties
Trust
17,252
1,217
Spirit
Realty
Capital,
Inc.
41,074
26,003
Sunstone
Hotel
Investors,
Inc.
206,464
15,724
TAG
Immobilien
AG
474,142
1,646
Terreno
Realty
Corporation
90,135
196
UDR,
Inc.
6,392
15
United
Urban
Investment
Corporation
16,691
3,141
Waypoint
REIT,
Ltd.
6,139
39,000
Wing
Tai
Holdings,
Ltd.
49,843
1,571
WP
Carey,
Inc.
102,366
Total
8,428,883
Utilities
(0.4%)
5,707
Alliant
Energy
Corporation
294,766
15,773
CenterPoint
Energy,
Inc.
305,208
4,778
CMS
Energy
Corporation
293,417
5,030
Duke
Energy
Corporation
445,457
9,469
Enagas
SA
218,481
4,110
Enel
SPA
35,658
7,236
Entergy
Corporation
712,963
6,228
Exelon
Corporation
222,713
6,460
FirstEnergy
Corporation
185,467
664
NextEra
Energy,
Inc.
184,300
649
Northland
Power,
Inc.
19,633
1,892
NorthWestern
Corporation
92,027
3,133
PNM
Resources,
Inc.
129,487
Shares
Common
Stock
(26.1%)
Value
Utilities
(0.4%)
-
continued
2,475
Portland
General
Electric
Company
$
87,862
1,515
Spire,
Inc.
80,598
268
Unitil
Corporation
10,355
Total
3,318,392
Total
Common
Stock
(cost
$180,251,972)
208,066,309
Shares
Registered
Investment
Companies
(
6.8%
)
Value
Unaffiliated (1.9%)
38,518
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
153,687
20,475
AllianceBernstein
Global
High
Income
Fund,
Inc.
215,192
12,614
AllianzGI
NFJ
Dividend
Interest
&
Premium
Strategy
Fund
148,845
9,418
BlackRock
Core
Bond
Trust
147,486
14,543
BlackRock
Corporate
High
Yield
Fund,
Inc.
155,319
10,490
BlackRock
Credit
Allocation
Income
Trust
149,168
23,300
BlackRock
Enhanced
Equity
Dividend
Trust
170,323
23,398
BlackRock
Enhanced
Global
Dividend
Trust
223,919
14,016
BlackRock
Multi-Sector
Income
Trust
221,173
13,700
Brookfield
Real
Assets
Income
Fund,
Inc.
226,324
14,463
Cohen
&
Steers
Quality
Income
Realty
Fund,
Inc.
160,684
12,716
Eaton
Vance
Limited
Duration
Income
Fund
143,818
20,328
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
149,614
1,863
Health
Care
Select
Sector
SPDR
Fund
196,509
16,645
Invesco
Dynamic
Credit
Opportunities
Fund
153,300
106,528
Invesco
Senior
Loan
ETF
2,315,919
2,279
iShares
Dow
Jones
US
Home
Construction
Index
Fund
129,105
28,000
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
1,020,600
38,878
Liberty
All-Star
Equity
Fund
233,657
34,950
Nuveen
Credit
Strategies
Income
Fund
206,555
11,509
PGIM
Global
High
Yield
Fund,
Inc.
152,494
11,374
PGIM
High
Yield
Bond
Fund,
Inc.
157,075
7,843
Pimco
Dynamic
Credit
And
Mortgage
Income
Fund
157,487
22,009
Royce
Micro-Cap
Trust,
Inc.
168,809
25,553
Royce
Value
Trust,
Inc.
322,990
28,013
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
2,920,916
5,853
Tri-Continental
Corporation
151,768
640
Utilities
Select
Sector
SPDR
Fund
k
38,003
2,208
Vanguard
High
Dividend
Yield
ETF
178,694
44,225
Vanguard
Short-Term
Corporate
Bond
ETF
3,664,041
46,457
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
229,962
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
72
Shares
Registered
Investment
Companies
(6.8%)
Value
Unaffiliated (1.9%)-
continued
31,200
Wells
Fargo
Income
Opportunities
Fund
$
227,760
Total
14,891,196
Affiliated (4.9%)
4,003,308
Thrivent
Core
Emerging
Markets
Debt
Fund
39,312,481
Total
39,312,481
Total
Registered
Investment
Companies
(cost
$53,462,301)
54,203,677
Shares
Preferred
Stock
(
1.9%
)
Value
Communications
Services
(0.1%)
24,475
AT&T,
Inc.,
4.750%
l
624,112
6,825
AT&T,
Inc.,
5.000%
l
182,296
Total
806,408
Consumer
Discretionary
(<0.1%)
888
International
Flavors
&
Fragrances,
Inc.,
Convertible,
6.000%
39,338
Total
39,338
Consumer
Staples
(0.2%)
26,000
CHS,
Inc.,
6.750%
b,l
682,500
31,200
CHS,
Inc.,
7.100%
b,l
831,480
Total
1,513,980
Energy
(0.1%)
49,859
Crestwood
Equity
Partners,
LP,
9.250%
l
293,670
5,300
Energy
Transfer
Operating,
LP,
7.600%
b,l
92,273
11,309
Nustar
Logistics,
LP,
7.009%
b
216,454
Total
602,397
Financials
(1.2%)
7,525
Aegon
Funding
Corporation
II,
5.100%
191,662
6,475
Agribank
FCB,
6.875%
b,l
689,587
15,500
Allstate
Corporation,
5.100%
l
415,090
13,200
Bank
of
America
Corporation,
5.000%
l
346,368
5,800
Bank
of
America
Corporation,
5.375%
l
155,846
218
Bank
of
America
Corporation,
Convertible,
7.250%
l
324,384
14,875
Capital
One
Financial
Corporation,
5.000%
l
373,065
8,650
Cobank
ACB,
6.250%
b,l
899,600
16,200
Equitable
Holdings,
Inc.,
5.250%
l
413,586
425
First
Horizon
Bank,
3.750%
b,i,l
318,750
29,050
GMAC
Capital
Trust
I,
6.065%
b
725,378
16,585
Hartford
Financial
Services
Group,
Inc.,
7.875%
b
458,907
9,925
J.P.
Morgan
Chase
&
Company,
4.750%
l
262,616
9,600
J.P.
Morgan
Chase
&
Company,
5.750%
l
262,176
9,600
Legg
Mason,
Inc.,
5.450%
244,800
22,200
Morgan
Stanley,
7.125%
b,l
612,720
2,675
Synovus
Financial
Corporation,
5.875%
b,l
68,828
14,400
Truist
Financial
Corporation,
4.750%
l,n
373,680
Shares
Preferred
Stock
(1.9%)
Value
Financials
(1.2%)
-
continued
1,500
Wells
Fargo
&
Company,
Convertible,
7.500%
l
$
2,013,075
Total
9,150,118
Health
Care
(<0.1%)
207
Danaher
Corporation,
Convertible,
5.000%
264,455
Total
264,455
Industrials
(0.1%)
518
Fortive
Corporation,
Convertible,
5.000%
485,024
4,686
Stanley
Black
&
Decker,
Inc.,
Convertible,
5.250%
472,818
Total
957,842
Real
Estate
(0.1%)
17,650
Public
Storage,
4.125%
l,n
457,664
3,775
Public
Storage,
4.625%
l
101,623
958
Public
Storage,
4.700%
l
25,991
1,475
Public
Storage,
4.875%
l
39,884
Total
625,162
Utilities
(0.1%)
5,664
NextEra
Energy,
Inc.,
Convertible,
4.872%
306,762
19,200
Southern
Company,
4.950%
506,112
6,218
Southern
Company,
Convertible,
6.750%
289,386
Total
1,102,260
Total
Preferred
Stock
(cost
$14,963,794)
15,061,960
Shares
Collateral
Held
for
Securities
Loaned
(
0.5%
)
Value
3,988,364
Thrivent
Cash
Management
Trust
3,988,364
Total
Collateral
Held
for
Securities
Loaned
(cost
$3,988,364)
3,988,364
Shares
or
Principal
Amount
Short-Term
Investments
(
12.3%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
1,000,000
0.074%,
10/14/2020
o,p
999,978
200,000
0.060%,
11/4/2020
o,p
199,987
1,500,000
0.090%,
11/6/2020
o,p
1,499,895
200,000
0.060%,
11/10/2020
o,p
199,984
800,000
0.070%,
11/19/2020
o,p
799,924
400,000
0.075%,
12/22/2020
o,p
399,918
Thrivent
Core
Short-Term
Reserve
Fund
9,365,652
0.310%
93,656,515
U.S.
Treasury
Bills
200,000
0.093%,
11/19/2020
o,q
199,976
Total
Short-Term
Investments
(cost
$97,955,882)
97,956,177
Total
Investments
(cost
$844,061,989)
109.6%
$874,461,678
Other
Assets
and
Liabilities,
Net
(9.6%)
(76,285,786)
Total
Net
Assets
100.0%
$798,175,892
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
73
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
f
In
bankruptcy. Interest
is
not
being
accrued.
g
In
bankruptcy. Interest
is
being
accrued
per
the
bankruptcy
agreement
terms.
h
Denotes
payment-in-kind
security. The
security
may
pay
an
interest
or
dividend
payment
with
additional
fixed
income
or
equity
securities
in
lieu
of,
or
in
addition
to
a
cash
payment. The
cash
rate
and/or
payment-in-kind
rate
shown
are
as
of
September
30,
2020.
i
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$159,151,935
or
19.9%
of
total
net
assets.
j
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
30,
2020.
k
All
or
a
portion
of
the
security
is
on
loan.
l
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
m
Denotes
interest
only
security. Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets. The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
n
Non-income
producing
security.
o
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
p
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
q
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Diversified
Income
Plus
Portfolio
as
of
September
30,
2020
was
$246,000
or
0.0%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Security
Acquisition
Date
Cost
Windstream
Services,
LLC,
10/31/2025
11/6/2017
$
402,602
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Diversified
Income
Plus
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
2,482,701
Common
Stock
1,373,508
Total
lending
$3,856,209
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$3,988,364
Net
amounts
due
to
counterparty
$132,155
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
PIK
-
Payment-In-Kind
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
12
MTA
-
12
Month
Treasury
Average
CMT
1Y
-
Constant
Maturity
Treasury
Yield
1
Year
COF
11
-
11th
District
Cost
of
Funds
H15T30Y
-
U.
S.
Treasury
Yield
Curve
Rate
Treasury
Note
Constant
Maturity
30
Year
LIBOR
1W
-
ICE
Libor
USD
Rate
1
Week
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
USISDA
10Y
-
ICE
Swap
USD
Rate
10
Year
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
74
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Diversified
Income
Plus
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
3,984,290
–
3,491,765
492,525
Capital
Goods
9,798,392
–
9,238,367
560,025
Communications
Services
25,781,956
–
24,660,431
1,121,525
Consumer
Cyclical
13,458,132
–
12,495,703
962,429
Consumer
Non-Cyclical
16,825,430
–
16,825,430
–
Energy
2,858,848
–
2,858,848
–
Financials
8,537,787
–
8,537,787
–
Technology
8,731,635
–
8,731,635
–
Transportation
2,242,139
–
2,242,139
–
Utilities
2,665,705
–
2,665,705
–
Long-Term
Fixed
Income
Asset-Backed
Securities
31,217,489
–
31,217,489
–
Basic
Materials
7,368,196
–
7,368,196
–
Capital
Goods
14,506,627
–
14,506,627
–
Collateralized
Mortgage
Obligations
73,610,260
–
73,610,260
–
Commercial
Mortgage-Backed
Securities
3,168,885
–
3,168,885
–
Communications
Services
24,901,195
–
24,901,195
–
Consumer
Cyclical
25,195,284
–
25,195,284
–
Consumer
Non-Cyclical
26,226,025
–
26,226,025
–
Energy
20,676,580
–
20,676,580
–
Financials
58,287,147
–
58,287,147
–
Foreign
Government
137,346
–
137,346
–
Mortgage-Backed
Securities
83,219,813
–
83,219,813
–
Technology
16,450,888
–
16,450,888
–
Transportation
4,753,322
–
4,753,322
–
Utilities
10,581,820
–
10,581,820
–
Common
Stock
Communications
Services
14,037,316
11,181,997
2,817,824
37,495
Consumer
Discretionary
23,626,188
19,202,244
4,423,944
–
Consumer
Staples
9,080,306
6,057,048
3,023,258
–
Energy
7,508,021
5,604,796
1,903,225
–
Financials
28,463,945
20,371,831
8,092,114
–
Health
Care
31,564,767
24,013,417
7,551,350
–
Industrials
29,749,557
21,105,770
8,643,787
–
Information
Technology
43,014,898
38,212,990
4,801,908
–
Materials
9,274,036
4,611,299
4,662,737
–
Real
Estate
8,428,883
5,598,792
2,830,091
–
Utilities
3,318,392
3,044,620
273,772
–
Preferred
Stock
Communications
Services
806,408
806,408
–
–
Consumer
Discretionary
39,338
39,338
–
–
Consumer
Staples
1,513,980
1,513,980
–
–
Energy
602,397
602,397
–
–
Financials
9,150,118
7,242,181
1,907,937
–
Health
Care
264,455
264,455
–
–
Industrials
957,842
957,842
–
–
Real
Estate
625,162
625,162
–
–
Utilities
1,102,260
1,102,260
–
–
Registered
Investment
Companies
Unaffiliated
14,891,196
14,891,196
–
–
Short-Term
Investments
4,299,662
–
4,299,662
–
Subtotal
Investments
in
Securities
$737,504,318
$187,050,023
$547,280,296
$3,173,999
Other
Investments *
Total
Affiliated
Registered
Investment
Companies
39,312,481
Affiliated
Short-Term
Investments
93,656,515
Collateral
Held
for
Securities
Loaned
3,988,364
Subtotal
Other
Investments
$136,957,360
Total
Investments
at
Value
$874,461,678
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
75
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
34,993
34,993
–
–
Total
Asset
Derivatives
$34,993
$34,993
$–
$–
Liability
Derivatives
Futures
Contracts
509,133
509,133
–
–
Credit
Default
Swaps
1,859
–
1,859
–
Total
Liability
Derivatives
$510,992
$509,133
$1,859
$–
The
following
table
presents
Diversified
Income
Plus
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$4,099,686
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
123
December
2020
$
27,171,846
$
6,349
CBOT
5-Yr.
U.S.
Treasury
Note
30
December
2020
3,777,515
3,422
CME
E-mini
S&P
500
Index
3
December
2020
498,539
4,261
CME
Euro
Foreign
Exchange
Currency
45
December
2020
6,647,075
(
45,856)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
1
December
2020
225,268
(
3,456)
Eurex
Euro
STOXX
50
Index
182
December
2020
7,067,667
(
281,956)
ICE
mini
MSCI
EAFE
Index
7
December
2020
668,133
(
19,513)
Total
Futures
Long
Contracts
$
46,056,043
(
$
336,749)
CBOT
10-Yr.
U.S.
Treasury
Note
(127)
December
2020
(
$
17,700,280)
(
$
20,189)
CBOT
U.S.
Long
Bond
(14)
December
2020
(
2,488,899)
20,961
CME
E-mini
Russell
2000
Index
(99)
December
2020
(
7,415,264)
(
31,516)
CME
E-mini
S&P
500
Index
(73)
December
2020
(
12,136,612)
(
98,188)
CME
E-mini
S&P
Mid-Cap
400
Index
(10)
December
2020
(
1,854,530)
(
1,370)
Ultra
10-Yr.
U.S.
Treasury
Note
(18)
December
2020
(
2,871,504)
(
7,089)
Total
Futures
Short
Contracts
(
$
44,467,089)
($137,391)
Total
Futures
Contracts
$
1,588,954
($474,140)
The
following
table
presents
Diversified
Income
Plus
Portfolio's
swaps
contracts
held
as
of
September
30,
2020.
Investments
totaling
$199,976
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
35,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2025
$
2,790,000
$
–
(
$
1,859)
(
$
1,859)
Total
Credit
Default
Swaps
$–
($1,859)
($1,859)
1
As
the
buyer
of
protection,
Diversified
Income
Plus
Portfolio
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Diversified
Income
Plus
Portfolio
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Diversified
Income
Plus
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
Diversified
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
76
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Diversified
Income
Plus
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$41,621
$1,785
$3,700
$39,312
4,003
4.9%
Total
Affiliated
Registered
Investment
Companies
41,621
39,312
4.9
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
99,710
217,293
223,310
93,657
9,366
11.7
Total
Affiliated
Short-Term
Investments
99,710
93,657
11.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
4,288
121,119
121,419
3,988
3,988
0.5
Total
Collateral
Held
for
Securities
Loaned
4,288
3,988
0.5
Total
Value
$145,619
$136,957
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$42
$(436)
–
$1,419
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(36)
0
–
810
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$2,229
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
31
Total
Affiliated
Income
from
Securities
Loaned,
Net
$31
Total
Value
$6
$(436)
$–
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
77
Shares
Common
Stock
(
84.4%
)
Value
Communications
Services
(11.1%)
136
Alphabet,
Inc.,
Class
A
a
$
199,322
137
Alphabet,
Inc.,
Class
C
a
201,335
423
CenturyLink,
Inc.
4,268
73
Discovery,
Inc.,
Class
A
a
1,589
146
Discovery,
Inc.,
Class
C
a
2,862
131
Electronic
Arts,
Inc.
a
17,084
1,090
Facebook,
Inc.
a
285,471
20
John
Wiley
and
Sons,
Inc.
634
74
Liberty
Global
plc,
Class
A
a
1,555
177
Liberty
Global
plc,
Class
C
a
3,635
64
New
York
Times
Company
2,738
97
Omnicom
Group,
Inc.
4,801
11
Scholastic
Corporation
231
1,875
Verizon
Communications,
Inc.
111,544
819
Walt
Disney
Company
101,621
Total
938,690
Consumer
Discretionary
(8.7%)
121
Aptiv
plc
11,093
103
Aramark
2,724
38
Autoliv,
Inc.
2,769
26
AutoNation,
Inc.
a
1,376
105
Best
Buy
Company,
Inc.
11,685
19
Booking
Holdings,
Inc.
a
32,503
94
BorgWarner,
Inc.
3,642
11
Buckle,
Inc.
224
41
Callaway
Golf
Company
785
64
Capri
Holdings,
Ltd.
a
1,152
74
CarMax,
Inc.
a
6,801
16
Choice
Hotels
International,
Inc.
1,375
13
Columbia
Sportswear
Company
1,131
59
Darden
Restaurants,
Inc.
5,944
13
Deckers
Outdoor
Corporation
a
2,860
18
Domino's
Pizza,
Inc.
7,655
9
Ethan
Allen
Interiors,
Inc.
122
47
Foot
Locker,
Inc.
1,552
34
GameStop
Corporation
a
347
101
Gap,
Inc.
1,720
65
Garmin,
Ltd.
6,166
158
Hanesbrands,
Inc.
2,489
69
Harley-Davidson,
Inc.
1,693
59
Hasbro,
Inc.
4,880
126
Hilton
Worldwide
Holdings,
Inc.
10,750
487
Home
Depot,
Inc.
135,245
10
Jack
in
the
Box,
Inc.
793
19
Knoll,
Inc.
229
70
Kohl's
Corporation
1,297
21
La-Z-Boy,
Inc.
664
131
LKQ
Corporation
a
3,633
342
Lowe's
Companies,
Inc.
56,724
125
Marriott
International,
Inc.
11,573
157
Mattel,
Inc.
a
1,837
337
McDonald's
Corporation
73,968
17
Meritage
Homes
Corporation
a
1,877
28
Mohawk
Industries,
Inc.
a
2,733
183
Newell
Brands,
Inc.
3,140
562
NIKE,
Inc.
70,553
50
Nordstrom,
Inc.
596
24
Office
Depot,
Inc.
467
18
Pool
Corporation
6,022
32
PVH
Corporation
1,908
81
Royal
Caribbean
Cruises,
Ltd.
5,243
20
Signet
Jewelers,
Ltd.
374
529
Starbucks
Corporation
45,452
336
Tesla,
Inc.
a
144,147
Shares
Common
Stock
(84.4%)
Value
Consumer
Discretionary
(8.7%)
-
continued
49
Tiffany
&
Company
$
5,677
52
Tractor
Supply
Company
7,454
24
Ulta
Beauty,
Inc.
a
5,376
85
Under
Armour,
Inc.,
Class
A
a
955
89
Under
Armour,
Inc.,
Class
C
a
876
18
Vail
Resorts,
Inc.
3,851
150
VF
Corporation
10,538
28
Whirlpool
Corporation
5,149
37
Wolverine
World
Wide,
Inc.
956
Total
732,745
Consumer
Staples
(6.7%)
252
Archer-Daniels-Midland
Company
11,716
64
Bunge,
Ltd.
2,925
82
Campbell
Soup
Company
3,966
57
Clorox
Company
11,980
1,849
Coca-Cola
Company
91,285
369
Colgate-Palmolive
Company
28,468
73
Darling
Ingredients,
Inc.
a
2,630
102
Estee
Lauder
Companies,
Inc.
22,262
275
General
Mills,
Inc.
16,962
37
Hain
Celestial
Group,
Inc.
a
1,269
134
Hormel
Foods
Corporation
6,551
30
Ingredion,
Inc.
2,270
52
J.M.
Smucker
Company
6,007
116
Kellogg
Company
7,492
154
Kimberly-Clark
Corporation
22,740
305
Kraft
Heinz
Company
9,135
356
Kroger
Company
12,072
66
Lamb
Weston
Holdings,
Inc.
4,374
56
McCormick
&
Company,
Inc.
10,870
647
Mondelez
International,
Inc.
37,170
629
PepsiCo,
Inc.
87,179
1,122
Procter
&
Gamble
Company
155,947
219
Sysco
Corporation
13,626
20
United
Natural
Foods,
Inc.
a
297
Total
569,193
Energy
(1.1%)
171
Apache
Corporation
1,620
297
Baker
Hughes
Company
3,947
103
Cheniere
Energy,
Inc.
a
4,766
486
ConocoPhillips
15,960
17
Core
Laboratories
NV
260
173
Devon
Energy
Corporation
1,637
116
EQT
Corporation
1,500
125
Hess
Corporation
5,116
358
Marathon
Oil
Corporation
1,464
295
Marathon
Petroleum
Corporation
8,655
176
National
Oilwell
Varco,
Inc.
1,595
217
Noble
Energy,
Inc.
1,855
408
Occidental
Petroleum
Corporation
4,084
199
ONEOK,
Inc.
5,170
198
Phillips
66
10,264
75
Pioneer
Natural
Resources
Company
6,449
629
Schlumberger,
Ltd.
9,787
270
Southwestern
Energy
Company
a
635
193
TechnipFMC
plc
1,218
185
Valero
Energy
Corporation
8,014
Total
93,996
Financials
(6.3%)
49
Air
Lease
Corporation
1,442
142
Allstate
Corporation
13,368
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
78
Shares
Common
Stock
(84.4%)
Value
Financials
(6.3%)
-
continued
169
Ally
Financial,
Inc.
$
4,237
310
American
Express
Company
31,077
55
Ameriprise
Financial,
Inc.
8,476
86
Arthur
J.
Gallagher
&
Company
9,080
18
Bank
of
Hawaii
Corporation
909
361
Bank
of
New
York
Mellon
Corporation
12,397
69
BlackRock,
Inc.
38,885
34
Cathay
General
Bancorp
737
525
Charles
Schwab
Corporation
19,021
205
Chubb,
Ltd.
23,805
45
CIT
Group,
Inc.
797
193
Citizens
Financial
Group,
Inc.
4,879
163
CME
Group,
Inc.
27,271
63
Comerica,
Inc.
2,410
100
E*TRADE
Financial
Corporation
5,005
184
Equitable
Holdings,
Inc.
3,356
17
FactSet
Research
Systems,
Inc.
5,693
78
First
Republic
Bank
8,507
135
Franklin
Resources,
Inc.
2,747
162
Hartford
Financial
Services
Group,
Inc.
5,971
15
Heartland
Financial
USA,
Inc.
450
248
Intercontinental
Exchange,
Inc.
24,812
24
International
Bancshares
Corporation
625
177
Invesco,
Ltd.
2,020
442
KeyCorp
5,273
88
Lincoln
National
Corporation
2,757
115
Loews
Corporation
3,996
58
M&T
Bank
Corporation
5,341
231
Marsh
&
McLennan
Companies,
Inc.
26,496
76
Moody's
Corporation
22,029
210
New
York
Community
Bancorp,
Inc.
1,737
90
Northern
Trust
Corporation
7,017
75
Old
National
Bancorp
942
192
People's
United
Financial,
Inc.
1,979
192
PNC
Financial
Services
Group,
Inc.
21,103
124
Principal
Financial
Group,
Inc.
4,993
265
Progressive
Corporation
25,088
179
Prudential
Financial,
Inc.
11,370
435
Regions
Financial
Corporation
5,016
109
S&P
Global,
Inc.
39,305
24
Signature
Bank
1,992
160
State
Street
Corporation
9,493
23
SVB
Financial
Group
a
5,534
103
T.
Rowe
Price
Group,
Inc.
13,207
123
TD
Ameritrade
Holding
Corporation
4,815
115
Travelers
Companies,
Inc.
12,442
611
Truist
Financial
Corporation
23,249
100
Umpqua
Holdings
Corporation
1,062
57
Voya
Financial,
Inc.
2,732
58
Willis
Towers
Watson
plc
12,112
74
Zions
Bancorporations
NA
2,162
Total
531,219
Health
Care
(8.8%)
800
AbbVie,
Inc.
70,072
20
ABIOMED,
Inc.
a
5,541
140
Agilent
Technologies,
Inc.
14,132
34
Align
Technology,
Inc.
a
11,130
69
AmerisourceBergen
Corporation
6,688
Shares
Common
Stock
(84.4%)
Value
Health
Care
(8.8%)
-
continued
267
Amgen,
Inc.
$
67,861
131
Becton,
Dickinson
and
Company
30,481
74
Biogen,
Inc.
a
20,992
82
BioMarin
Pharmaceutical,
Inc.
a
6,239
17
Bio-Techne
Corporation
4,211
1,025
Bristol-Myers
Squibb
Company
61,797
132
Cardinal
Health,
Inc.
6,197
262
Centene
Corporation
a
15,282
138
Cerner
Corporation
9,976
167
Cigna
Holding
Company
28,292
24
Cooper
Companies,
Inc.
8,091
39
DaVita,
Inc.
a
3,340
99
Dentsply
Sirona,
Inc.
4,329
281
Edwards
Lifesciences
Corporation
a
22,429
568
Gilead
Sciences,
Inc.
35,892
122
HCA
Healthcare,
Inc.
15,211
65
Henry
Schein,
Inc.
a
3,821
117
Hologic,
Inc.
a
7,777
60
Humana,
Inc.
24,833
38
IDEXX
Laboratories,
Inc.
a
14,938
87
IQVIA
Holding,
Inc.
a
13,714
25
Jazz
Pharmaceuticals,
Inc.
a
3,565
44
Laboratory
Corporation
of
America
Holdings
a
8,284
39
Mednax,
Inc.
a
635
1,144
Merck
&
Company,
Inc.
94,895
11
Mettler-Toledo
International,
Inc.
a
10,623
39
Patterson
Companies,
Inc.
940
61
Quest
Diagnostics,
Inc.
6,984
66
ResMed,
Inc.
11,314
49
Select
Medical
Holdings
Corporation
a
1,020
32
Teladoc
Health,
Inc.
a
7,016
41
Varian
Medical
Systems,
Inc.
a
7,052
118
Vertex
Pharmaceuticals,
Inc.
a
32,110
28
Waters
Corporation
a
5,479
33
West
Pharmaceutical
Services,
Inc.
9,072
215
Zoetis,
Inc.
35,555
Total
747,810
Industrials
(8.0%)
261
3M
Company
41,807
61
A.O.
Smith
Corporation
3,221
36
Acco
Brands
Corporation
209
18
Acuity
Brands,
Inc.
1,842
29
AGCO
Corporation
2,154
42
Allegion
plc
4,154
4
AMERCO
1,424
18
Applied
Industrial
Technologies,
Inc.
992
10
ArcBest
Corporation
311
24
ASGN,
Inc.
a
1,525
23
Avis
Budget
Group,
Inc.
a
605
53
Builders
FirstSource,
Inc.
a
1,729
61
C.H.
Robinson
Worldwide,
Inc.
6,234
245
Caterpillar,
Inc.
36,542
96
Copart,
Inc.
a
10,095
347
CSX
Corporation
26,951
67
Cummins,
Inc.
14,148
135
Deere
&
Company
29,920
72
Delta
Air
Lines,
Inc.
2,202
19
Deluxe
Corporation
489
65
Dover
Corporation
7,042
181
Eaton
Corporation
plc
18,467
10
Echo
Global
Logistics,
Inc.
a
258
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
79
Shares
Common
Stock
(84.4%)
Value
Industrials
(8.0%)
-
continued
25
EMCOR
Group,
Inc.
$
1,693
75
Expeditors
International
of
Washington,
Inc.
6,789
23
Exponent,
Inc.
1,657
260
Fastenal
Company
11,723
59
Flowserve
Corporation
1,610
137
Fortive
Corporation
10,441
63
Fortune
Brands
Home
and
Security,
Inc.
5,451
76
Graco,
Inc.
4,663
17
Granite
Construction,
Inc.
299
12
H&E
Equipment
Services,
Inc.
236
73
HD
Supply
Holdings,
Inc.
a
3,010
7
Heidrick
&
Struggles
International,
Inc.
137
19
HNI
Corporation
596
9
ICF
International,
Inc.
554
172
IHS
Markit,
Ltd.
13,504
143
Illinois
Tool
Works,
Inc.
27,629
22
Interface,
Inc.
135
337
Johnson
Controls
International
plc
13,766
43
Kansas
City
Southern
7,776
12
Kelly
Services,
Inc.
204
16
Lennox
International,
Inc.
4,362
26
Lincoln
Electric
Holdings,
Inc.
2,393
238
Linde
Public
Limited
Company
56,675
26
Manpower,
Inc.
1,907
120
Masco
Corporation
6,616
31
Meritor,
Inc.
a
649
25
Middleby
Corporation
a
2,243
116
Norfolk
Southern
Corporation
24,823
49
Owens
Corning,
Inc.
3,372
157
PACCAR,
Inc.
13,389
58
Parker-Hannifin
Corporation
11,736
62
Quanta
Services,
Inc.
3,277
11
Resources
Connection,
Inc.
127
52
Robert
Half
International,
Inc.
2,753
52
Rockwell
Automation,
Inc.
11,475
47
Roper
Industries,
Inc.
18,570
24
Ryder
System,
Inc.
1,014
71
Sensata
Technologies
Holding
plc
a
3,063
23
Snap-On,
Inc.
3,384
67
Southwest
Airlines
Company
2,512
48
Spirit
Aerosystems
Holdings,
Inc.
908
70
Stanley
Black
&
Decker,
Inc.
11,354
33
Steelcase,
Inc.
334
7
Tennant
Company
422
24
Tetra
Tech,
Inc.
2,292
31
Timken
Company
1,681
108
Trane
Technologies
plc
13,095
86
TransUnion
7,235
15
TrueBlue,
Inc.
a
232
308
Union
Pacific
Corporation
60,636
319
United
Parcel
Service,
Inc.
53,155
33
United
Rentals,
Inc.
a
5,758
21
W.W.
Grainger,
Inc.
7,492
82
Wabtec
Corporation
5,074
82
Xylem,
Inc.
6,898
Total
675,100
Information
Technology
(27.5%)
289
Accenture
plc
65,311
218
Adobe,
Inc.
a
106,914
531
Advanced
Micro
Devices,
Inc.
a
43,537
167
Analog
Devices,
Inc.
19,496
39
ANSYS,
Inc.
a
12,762
Shares
Common
Stock
(84.4%)
Value
Information
Technology
(27.5%)
-
continued
415
Applied
Materials,
Inc.
$
24,672
99
Autodesk,
Inc.
a
22,870
195
Automatic
Data
Processing,
Inc.
27,201
127
Cadence
Design
Systems,
Inc.
a
13,542
1,914
Cisco
Systems,
Inc.
75,392
53
Citrix
Systems,
Inc.
7,299
78
Cognex
Corporation
5,078
245
Cognizant
Technology
Solutions
Corporation
17,008
89
CommScope
Holding
Company,
Inc.
a
801
345
Corning,
Inc.
11,181
109
Dell,
Inc.
a
7,378
28
F5
Networks,
Inc.
a
3,438
226
Flextronics
International,
Ltd.
a
2,518
62
Fortinet,
Inc.
a
7,304
581
Hewlett
Packard
Enterprise
Company
5,444
648
HP,
Inc.
12,306
1,919
Intel
Corporation
99,366
402
International
Business
Machines
Corporation
48,911
118
Intuit,
Inc.
38,493
17
Itron,
Inc.
a
1,033
85
Keysight
Technologies,
Inc.
a
8,396
66
Lam
Research
Corporation
21,896
405
MasterCard,
Inc.
136,959
111
Microchip
Technology,
Inc.
11,406
3,265
Microsoft
Corporation
686,727
77
Motorola
Solutions,
Inc.
12,074
254
NortonLifeLock,
Inc.
5,293
279
NVIDIA
Corporation
151,000
53
Okta,
Inc.
a
11,334
929
Oracle
Corporation
55,461
23
Paycom
Software,
Inc.
a
7,160
506
PayPal
Holdings,
Inc.
a
99,697
13
Plantronics,
Inc.
154
408
Salesforce.com,
Inc.
a
102,539
86
ServiceNow,
Inc.
a
41,710
76
Skyworks
Solutions,
Inc.
11,058
174
Slack
Technologies,
Inc.
a
4,674
72
Splunk,
Inc.
a
13,545
149
TE
Connectivity,
Ltd.
14,563
49
Teradata
Corporation
a
1,112
416
Texas
Instruments,
Inc.
59,401
113
Trimble,
Inc.
a
5,503
765
Visa,
Inc.
152,977
38
VMware,
Inc.
a
5,459
186
Western
Union
Company
3,986
79
Workday,
Inc.
a
16,995
82
Xerox
Holdings
Corporation
1,539
24
Zebra
Technologies
Corporation
a
6,059
Total
2,327,932
Materials
(2.0%)
100
Air
Products
and
Chemicals,
Inc.
29,786
48
Albemarle
Corporation
4,285
714
Amcor
plc
7,890
38
Avery
Dennison
Corporation
4,858
96
Axalta
Coating
Systems,
Ltd.
a
2,128
148
Ball
Corporation
12,302
15
Compass
Minerals
International,
Inc.
890
25
Domtar
Corporation
657
116
Ecolab,
Inc.
23,181
23
H.B.
Fuller
Company
1,053
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
80
Shares
Common
Stock
(84.4%)
Value
Materials
(2.0%)
-
continued
39
International
Flavors
&
Fragrances,
Inc.
$
4,776
15
Minerals
Technologies,
Inc.
766
163
Mosaic
Company
2,978
364
Newmont
Mining
Corporation
23,096
136
Nucor
Corporation
6,101
107
PPG
Industries,
Inc.
13,063
10
Schnitzer
Steel
Industries,
Inc.
192
71
Sealed
Air
Corporation
2,756
37
Sherwin-Williams
Company
25,779
45
Sonoco
Products
Company
2,298
Total
168,835
Real
Estate
(2.7%)
201
American
Tower
Corporation
48,588
64
AvalonBay
Communities,
Inc.
9,558
67
Boston
Properties,
Inc.
5,380
152
CBRE
Group,
Inc.
a
7,139
51
Corporate
Office
Properties
Trust
1,210
122
Digital
Realty
Trust,
Inc.
17,905
167
Duke
Realty
Corporation
6,162
40
Equinix,
Inc.
30,405
169
Equity
Residential
8,675
33
Federal
Realty
Investment
Trust
2,423
244
Healthpeak
Properties,
Inc.
6,625
319
Host
Hotels
&
Resorts,
Inc.
3,442
130
Iron
Mountain,
Inc.
3,483
23
Jones
Lang
LaSalle,
Inc.
2,200
45
Macerich
Company
306
30
PotlatchDeltic
Corporation
1,263
335
Prologis,
Inc.
33,708
52
Realogy
Holdings
Corporation
a
491
51
SBA
Communications
Corporation
16,242
139
Simon
Property
Group,
Inc.
8,990
134
UDR,
Inc.
4,370
74
Vornado
Realty
Trust
2,494
338
Weyerhaeuser
Company
9,640
Total
230,699
Utilities
(1.5%)
301
AES
Corporation
5,451
113
Alliant
Energy
Corporation
5,836
82
American
Water
Works
Company,
Inc.
11,880
55
Atmos
Energy
Corporation
5,257
30
Avista
Corporation
1,024
228
CenterPoint
Energy,
Inc.
4,412
130
CMS
Energy
Corporation
7,983
151
Consolidated
Edison,
Inc.
11,748
106
Essential
Utilities,
Inc.
4,266
152
Eversource
Energy
12,700
246
FirstEnergy
Corporation
7,063
91
MDU
Resources
Group,
Inc.
2,048
43
New
Jersey
Resources
Corporation
1,162
173
NiSource,
Inc.
3,806
14
Northwest
Natural
Holding
Company
635
91
OGE
Energy
Corporation
2,729
19
Ormat
Technologies,
Inc.
1,123
348
PPL
Corporation
9,469
133
Sempra
Energy
15,742
94
UGI
Corporation
3,100
Shares
Common
Stock
(84.4%)
Value
Utilities
(1.5%)
-
continued
143
WEC
Energy
Group,
Inc.
$
13,857
Total
131,291
Total
Common
Stock
(cost
$6,390,559)
7,147,510
Shares
Registered
Investment
Companies
(
14.2%
)
Value
Unaffiliated (14.2%)
15,809
iShares
ESG
MSCI
USA
ETF
1,204,804
Total
1,204,804
Total
Registered
Investment
Companies
(cost
$1,196,108)
1,204,804
Shares
Short-Term
Investments
(
0.9%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
7,052
0.310%
70,520
Total
Short-Term
Investments
(cost
$70,520)
70,520
Total
Investments
(cost
$7,657,187)
99.5%
$8,422,834
Other
Assets
and
Liabilities,
Net
0.5%
45,319
Total
Net
Assets
100.0%
$8,468,153
a
Non-income
producing
security.
Definitions:
ETF
-
Exchange
Traded
Fund
ESG
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
81
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
ESG
Index
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
938,690
938,690
–
–
Consumer
Discretionary
732,745
732,745
–
–
Consumer
Staples
569,193
569,193
–
–
Energy
93,996
93,996
–
–
Financials
531,219
531,219
–
–
Health
Care
747,810
747,810
–
–
Industrials
675,100
675,100
–
–
Information
Technology
2,327,932
2,327,932
–
–
Materials
168,835
168,835
–
–
Real
Estate
230,699
230,699
–
–
Utilities
131,291
131,291
–
–
Registered
Investment
Companies
Unaffiliated
1,204,804
1,204,804
–
–
Subtotal
Investments
in
Securities
$8,352,314
$8,352,314
$–
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
70,520
Subtotal
Other
Investments
$70,520
Total
Investments
at
Value
$8,422,834
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
ESG
Index
Portfolio,
is
as
follows:
Portfolio
Value
4/30/2020
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1,250
$1,760
$2,939
$71
7
0.9%
Total
Affiliated
Short-Term
Investments
1,250
71
0.9
Total
Value
$1,250
$71
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
4/30/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$0
$–
–
$0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
0
Total
Value
$0
$–
$–
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
82
Shares
Common
Stock
(
80.4%
)
Value
Communications
Services
(5.9%)
44,409
Activision
Blizzard,
Inc.
$
3,594,909
8,954
Alphabet,
Inc.,
Class
A
a
13,122,982
1,614
Alphabet,
Inc.,
Class
C
a
2,371,934
5,724
ANGI
Homeservices,
Inc.
a
63,508
518,796
Auto
Trader
Group
plc
b
3,766,687
89,400
Carsales.com,
Ltd.
1,339,258
7,205
Cinemark
Holdings,
Inc.
72,050
109,851
Comcast
Corporation
5,081,707
1,477
Consolidated
Communications
Holdings,
Inc.
a
8,404
81,288
Deutsche
Telekom
AG
1,353,457
68,508
Discovery,
Inc.,
Class
A
a,c
1,491,419
2,010
EchoStar
Corporation
a
50,029
24,728
Facebook,
Inc.
a
6,476,263
22,400
Gannett
Company,
Inc.
29,120
1,188
Hemisphere
Media
Group,
Inc.
a
10,324
267,000
HKT
Trust
and
HKT,
Ltd.
354,391
175
IAC/InterActiveCorp
a
20,962
6,596
Interpublic
Group
of
Companies,
Inc.
109,955
8,758
Ipsos
SA
218,952
25,900
KDDI
Corporation
651,425
76,061
Live
Nation
Entertainment,
Inc.
a
4,098,167
377
Match
Group,
Inc.
a
41,715
329,284
Mediaset
Espana
Comunicacion
SA
a
1,219,514
5,509
Meredith
Corporation
72,278
1,564
News Corporation
21,865
2,300
Nintendo
Company,
Ltd.
1,303,390
22,700
Nippon
Telegraph
&
Telephone
Corporation
463,459
41,100
NTT
DOCOMO,
Inc.
1,510,266
1,594
Omnicom
Group,
Inc.
78,903
19,643
ORBCOMM,
Inc.
a
66,786
4,541
REA
Group,
Ltd.
361,594
22,317
Rightmove
plc
180,420
3,483
RingCentral,
Inc.
a
956,467
1,471
Scholastic
Corporation
30,876
116,927
Seven
West
Media,
Ltd.
a
9,399
203,600
SoftBank
Corporation
2,275,096
20,800
SoftBank
Group
Corporation
1,286,991
3,560
Take-Two
Interactive
Software,
Inc.
a
588,183
94,000
TV
Asahi
Holdings
Corporation
1,492,767
110,864
Uber
Technologies,
Inc.
a
4,044,319
119,445
Verizon
Communications,
Inc.
7,105,783
21,018
Wolters
Kluwer
NV
1,792,898
Total
69,188,872
Consumer
Discretionary
(10.5%)
2,328
Aaron's,
Inc.
131,881
10,500
ABC-MART,
Inc.
546,696
3,679
Adient
plc
a
63,757
9,755
Amazon.com,
Inc.
a
30,715,861
5,070
American
Eagle
Outfitters,
Inc.
75,087
535
American
Public
Education,
Inc.
a
15,082
5,600
AOKI
Holdings,
Inc.
28,162
62,474
Aptiv
plc
5,727,616
10,146
ARB
Corporation,
Ltd.
202,709
21,627
Aristocrat
Leisure,
Ltd.
471,654
2,902
At
Home
Group,
Inc.
a
43,124
11,500
Autobacs
Seven
Company,
Ltd.
149,788
1,239
AutoNation,
Inc.
a
65,580
1,363
AutoZone,
Inc.
a
1,605,123
199,950
B&M
European
Value
Retail
SA
1,274,727
3,313
Beazer
Homes
USA,
Inc.
a
43,732
Shares
Common
Stock
(80.4%)
Value
Consumer
Discretionary
(10.5%)
-
continued
6,329
Bed
Bath
&
Beyond,
Inc.
c
$
94,808
18,231
Berkeley
Group
Holdings
plc
993,827
1,001
Big
Lots,
Inc.
44,645
4,428
BJ's
Restaurants,
Inc.
130,360
7,700
Bridgestone
Corporation
243,390
9,693
Bright
Horizons
Family
Solutions,
Inc.
a
1,473,724
958
Brunswick
Corporation
56,436
22,542
Bunzl
plc
727,804
4,506
Burlington
Stores,
Inc.
a
928,642
2,822
Caesars
Entertainment,
Inc.
a
158,201
2,765
Camping
World
Holdings,
Inc.
82,259
5,215
Capri
Holdings,
Ltd.
a
93,870
4,625
Carnival
Corporation
c
70,207
62
Cavco
Industries,
Inc.
a
11,179
1,185
Century
Casinos,
Inc.
a
6,494
1,434
Century
Communities,
Inc.
a
60,701
11,020
Chewy,
Inc.
a,c
604,227
32,561
Chico's
FAS,
Inc.
31,666
3,424
Chipotle
Mexican
Grill,
Inc.
a
4,258,463
14,500
Chiyoda
Company,
Ltd.
135,083
596
Choice
Hotels
International,
Inc.
51,232
754
Churchill
Downs,
Inc.
123,520
1,456
Cie
Generale
des
Etablissements
Michelin
156,299
151,900
Citizen
Watch
Company,
Ltd.
a
426,122
13,884
Collins
Foods,
Ltd.
103,231
24,244
Cooper-Standard
Holdings,
Inc.
a
320,263
1,960
Cracker
Barrel
Old
Country
Store,
Inc.
224,734
4,584
Culp,
Inc.
56,933
23,115
D.R.
Horton,
Inc.
1,748,187
3,561
Dana,
Inc.
43,872
1,965
Darden
Restaurants,
Inc.
197,954
4,440
Dave
&
Buster's
Entertainment,
Inc.
c
67,310
697
Deckers
Outdoor
Corporation
a
153,347
1,838
Denny's
Corporation
a
18,380
58,300
Denso
Corporation
2,555,391
4,387
Designer
Brands,
Inc.
23,821
2,848
Dick's
Sporting
Goods,
Inc.
164,842
1,683
Dine
Brands
Global,
Inc.
91,875
48,957
Dollarama,
Inc.
1,876,584
32,920
Dometic
Group
AB
a,b
406,449
1,965
Domino's
Pizza
Enterprises,
Ltd.
112,353
7,706
Domino's
Pizza
Group
plc
36,265
2,268
Domino's
Pizza,
Inc.
964,535
102
Dorman
Products,
Inc.
a
9,219
600
Doutor
Nichires
Holdings
Company,
Ltd.
9,116
34,631
Duluth
Holdings,
Inc.
a,c
423,191
1,198
Dunkin'
Brands
Group,
Inc.
98,128
6,232
Emerald
Holding,
Inc.
12,713
1,975
Ethan
Allen
Interiors,
Inc.
26,741
8,037
Etsy,
Inc.
a
977,540
6,117
Europris
ASA
b
31,360
1,200
Exedy
Corporation
15,631
3,207
Express,
Inc.
a
1,956
3,566
Extended
Stay
America,
Inc.
42,614
700
Fast
Retailing
Company,
Ltd.
439,895
10,686
Five
Below,
Inc.
a
1,357,122
3,006
Foot
Locker,
Inc.
99,288
295
Fox
Factory
Holding
Corporation
a
21,927
268,000
Galaxy
Entertainment
Group,
Ltd.
1,811,867
3,998
Gap,
Inc.
68,086
4,207
Genuine
Parts
Company
400,380
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
83
Shares
Common
Stock
(80.4%)
Value
Consumer
Discretionary
(10.5%)
-
continued
6,308
Goodyear
Tire
&
Rubber
Company
$
48,382
1,785
Grand
Canyon
Education,
Inc.
a
142,693
55,585
GVC
Holdings
plc
a
696,163
1,007
Helen
of
Troy,
Ltd.
a
194,875
1,488
Hermes
International
1,281,552
23,638
Home
Depot,
Inc.
6,564,509
509
Hovnanian
Enterprises,
Inc.
a
16,553
109,954
Husqvarna
AB
1,209,073
47,631
Industria
de
Diseno
Textil
SA
1,317,690
5,269
InterContinental
Hotels
Group
plc
a
276,573
8,500
Izumi
Company,
Ltd.
309,944
1,865
Jack
in
the
Box,
Inc.
147,913
3,640
KB
Home
139,740
7,955
Knoll,
Inc.
95,937
11,486
Kohl's
Corporation
212,836
6,032
L
Brands,
Inc.
191,878
5,071
Lear
Corporation
552,993
1,500
Lithia
Motors,
Inc.
341,910
30,455
Lowe's
Companies,
Inc.
5,051,266
347
LVMH
Moet
Hennessy
Louis
Vuitton
SE
162,362
8,919
Macy's,
Inc.
c
50,838
334
Madison
Square
Garden
Sports
Corporation
a
50,260
3,466
Marcus
Corporation
26,792
435
Marriott
Vacations
Worldwide
Corporation
39,502
10,065
Mattel,
Inc.
a
117,760
1,507
Meritage
Homes
Corporation
a
166,358
8,398
Michaels
Companies,
Inc.
a
81,083
2,901
Modine
Manufacturing
Company
a
18,131
8,471
Mohawk
Industries,
Inc.
a
826,685
198,072
Moneysupermarket.com
Group
plc
682,761
55,300
NHK
Spring
Company,
Ltd.
354,071
14,800
Nihon
Unisys,
Ltd.
466,943
42,179
NIKE,
Inc.
5,295,152
45,300
Nissan
Motor
Company,
Ltd.
a
160,208
5,236
Nordstrom,
Inc.
c
62,413
7,298
Norwegian
Cruise
Line
Holdings,
Ltd.
a,c
124,869
261
NVR,
Inc.
a
1,065,694
966
Office
Depot,
Inc.
18,789
14,318
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
1,250,677
9,200
Onward
Holdings
Company,
Ltd.
23,834
2,600
Oriental
Land
Company,
Ltd.
364,638
1,094
Overstock.com,
Inc.
a
79,479
17,396
Pandox
AB
a
199,433
1,606
Park
Hotels
&
Resorts,
Inc.
16,044
9,647
Party
City
Holdco,
Inc.
a,c
25,082
10,598
Penn
National
Gaming,
Inc.
a
770,475
27,822
Planet
Fitness,
Inc.
a
1,714,392
31,878
Playa
Hotels
and
Resorts
NV
a
133,569
10,000
PLENUS
Company,
Ltd.
172,662
1,047
Polaris,
Inc.
98,774
561
Pool
Corporation
187,677
8,169
Premier
Investments,
Ltd.
121,436
5,639
PulteGroup,
Inc.
261,029
1,336
PVH
Corporation
79,679
7,033
Qurate
Retail,
Inc.
50,497
753
Red
Robin
Gourmet
Burgers,
Inc.
a
9,909
18,260
Red
Rock
Resorts,
Inc.
312,246
77,791
Redrow
plc
a
404,753
13,316
Restaurant
Brands
International,
Inc.
765,803
17,100
Rinnai
Corporation
1,667,956
Shares
Common
Stock
(80.4%)
Value
Consumer
Discretionary
(10.5%)
-
continued
1,463
Royal
Caribbean
Cruises,
Ltd.
$
94,700
8,855
Ruth's
Hospitality
Group,
Inc.
97,936
3,969
Sally
Beauty
Holdings,
Inc.
a,c
34,491
27,300
Sangetsu
Company,
Ltd.
420,868
1,500
Sankyo
Company,
Ltd.
39,278
564
Scandic
Hotels
Group
AB
b
1,691
533
SeaWorld
Entertainment,
Inc.
a
10,511
34,800
Sekisui
House,
Ltd.
616,681
4,200
SHIMAMURA
Company,
Ltd.
408,003
7,954
Six
Flags
Entertainment
Corporation
161,466
9,181
Skyline
Corporation
a
245,775
13,900
Sony
Corporation
1,065,324
30,354
Sony
Corporation
ADR
2,329,670
6,120
Standard
Motor
Products,
Inc.
273,258
241
Strategic
Education,
Inc.
22,044
268,100
Sumitomo
Electric
Industries,
Ltd.
3,018,089
126,900
Sumitomo
Rubber
Industries,
Ltd.
1,178,792
13,366
Super
Retail
Group,
Ltd.
101,651
4,000
Takara
Standard
Company,
Ltd.
53,841
16,435
Taylor
Morrison
Home
Corporation
a
404,137
7,643
Tenneco,
Inc.
a
53,042
3,892
Tesla,
Inc.
a
1,669,707
14,567
Texas
Roadhouse,
Inc.
885,528
4,598
Thor
Industries,
Inc.
438,005
15,293
Thule
Group
AB
b
504,662
8,353
Toll
Brothers,
Inc.
406,457
3,442
TopBuild
Corporation
a
587,515
5,300
Toyoda
Gosei
Company,
Ltd.
121,694
6,200
Toyota
Motor
Corporation
411,494
4,978
Tri
Pointe
Homes,
Inc.
a
90,301
383
Tupperware
Brands
Corporation
a
7,721
2,310
Ulta
Beauty,
Inc.
a
517,394
1,911
Urban
Outfitters,
Inc.
a
39,768
1,231
Vail
Resorts,
Inc.
263,397
258
Wayfair,
Inc.
a
75,081
507
Whirlpool
Corporation
93,232
1,472
Williams-Sonoma,
Inc.
133,128
4,432
Wingstop,
Inc.
605,633
802
Workhorse
Group,
Inc.
a,c
20,275
1,352
Wyndham
Destinations,
Inc.
41,588
675
YETI
Holdings,
Inc.
a
30,591
Total
121,984,452
Consumer
Staples
(3.0%)
16,400
Arcs
Company,
Ltd.
421,040
9,700
Asahi
Group
Holdings,
Ltd.
338,070
37,689
BJ's
Wholesale
Club
Holdings,
Inc.
a
1,565,978
10,400
British
American
Tobacco
plc
373,063
21,494
Carlsberg
AS
2,895,718
5,992
Casey's
General
Stores,
Inc.
1,064,479
14,971
Celsius
Holdings,
Inc.
a
339,991
26,758
e.l.f.
Beauty,
Inc.
a
491,544
4,564
Elior
Participations
SCA
b
21,190
21,277
ForFarmers
BV
130,220
5,160
Glanbia
plc
53,279
746
Hain
Celestial
Group,
Inc.
a
25,588
88,900
Japan
Tobacco,
Inc.
1,621,873
5,600
Kao
Corporation
420,396
14,000
Kewpie
Corporation
287,949
9,618
Kimberly-Clark
Corporation
1,420,194
10,391
Lamb
Weston
Holdings,
Inc.
688,612
138
Lindt
&
Spruengli
AG
1,164,854
3,292
L'Oreal
SA
1,071,319
854
McCormick
&
Company,
Inc.
165,761
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
84
Shares
Common
Stock
(80.4%)
Value
Consumer
Staples
(3.0%)
-
continued
319
Medifast,
Inc.
$
52,460
5,200
Ministop
Company,
Ltd.
73,091
6,684
Monster
Beverage
Corporation
a
536,057
66,622
Nestle
SA
7,928,820
400
Noevir
Holdings
Company,
Ltd.
18,722
23,601
Orkla
ASA
238,193
1,994
Royal
Unibrew
AS
205,524
1,172
Seneca
Foods
Corporation
a
41,876
21,200
Seven
&
I
Holdings
Company,
Ltd.
658,686
991
Simply
Good
Foods
Company
a
21,852
19,400
Sugi
Holdings
Company,
Ltd.
1,371,654
19,400
Sundrug
Company,
Ltd.
731,282
2,190
TreeHouse
Foods,
Inc.
a
88,761
21,345
Turning
Point
Brands,
Inc.
595,525
2,400
Unicharm
Corporation
107,336
12,105
Unilever
NV
735,109
488
Vector
Group,
Ltd.
4,729
45,465
Wal-Mart
Stores,
Inc.
6,361,008
Total
34,331,803
Energy
(2.2%)
12,626
Antero
Midstream
Corporation
67,802
7,950
Apache
Corporation
75,287
24,142
Archrock,
Inc.
129,884
76,194
BP
plc
ADR
1,330,347
11,409
Centennial
Resource
Development,
Inc.
a
6,873
215,251
CGG
SA
a
143,561
4,005
ChampionX
Corporation
a
32,000
22,771
Chevron
Corporation
1,639,512
12,017
Cimarex
Energy
Company
292,374
9,219
CNX
Resources
Corporation
a
87,027
6,010
Concho
Resources,
Inc.
265,161
20,650
ConocoPhillips
678,146
6,973
Continental
Resources,
Inc.
c
85,628
7,538
Core
Laboratories
NV
115,030
2,334
Delek
US
Holdings,
Inc.
25,977
31,670
Devon
Energy
Corporation
299,598
6,246
Diamondback
Energy,
Inc.
188,130
240,500
Eneos
Holdings,
Inc.
858,072
158,760
Eni
SPA
1,240,887
19,031
EnLink
Midstream,
LLC
44,723
53,240
Enterprise
Products
Partners,
LP
840,660
18,984
EQT
Corporation
245,463
88,780
Equinor
ASA
1,257,805
16,644
Equitrans
Midstream
Corporation
140,808
6,976
Exterran
Corporation
a
29,020
16,980
Exxon
Mobil
Corporation
582,923
10,323
Frank's
International
NV
a
15,897
2,909
Gaztransport
Et
Technigaz
SA
277,412
28,788
Gibson
Energy,
Inc.
466,558
15,836
Gran
Tierra
Energy,
Inc.
a
3,679
44,167
Halliburton
Company
532,212
8,869
Helmerich
&
Payne,
Inc.
129,931
86,718
John
Wood
Group
plc
a
238,091
5,044
Liberty
Oilfield
Services,
Inc.
40,302
3,156
Lundin
Energy
AB
62,586
67,826
Marathon
Oil
Corporation
277,408
42,765
Marathon
Petroleum
Corporation
1,254,725
617
Nabors
Industries,
Ltd.
15,080
7,973
NexTier
Oilfield
Solutions,
Inc.
a
14,750
20,281
Nine
Energy
Service,
Inc.
a
22,918
12,701
Oceaneering
International,
Inc.
a
44,708
14,811
OMV
AG
a
405,247
26,137
Patterson-UTI
Energy,
Inc.
74,490
Shares
Common
Stock
(80.4%)
Value
Energy
(2.2%)
-
continued
3,804
PBF
Energy,
Inc.
$
21,645
1,802
PDC
Energy,
Inc.
a
22,336
2,769
Peabody
Energy
Corporation
6,369
16,295
Pioneer
Natural
Resources
Company
1,401,207
6,148
Plains
GP
Holdings,
LP
37,441
3,139
ProPetro
Holding
Corporation
a
12,744
11,442
QEP
Resources,
Inc.
10,330
6,361
Range
Resources
Corporation
42,110
127,713
Royal
Dutch
Shell
plc,
Class
A
1,594,292
206,560
Royal
Dutch
Shell
plc,
Class
B
2,504,976
5,680
RPC,
Inc.
a
14,995
15,134
SBM
Offshore
NV
241,414
12,770
SM
Energy
Company
20,304
22,746
Southwestern
Energy
Company
a
53,453
15,932
Subsea
7
SA
a
114,509
11,032
Talos
Energy,
Inc.
a
71,156
6,166
Targa
Resources
Corporation
86,509
22,873
TC
Energy
Corporation
960,235
23,320
TechnipFMC
plc
147,149
54,299
Tenaris
SA
ADR
534,845
76,404
Total
SE
2,623,924
224,431
Tullow
Oil
plc
a
43,911
7,022
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
119,277
2,064
Woodside
Petroleum,
Ltd.
26,196
Total
25,290,019
Financials
(10.5%)
93
1st
Source
Corporation
2,868
89,537
AB
Industrivarden
a
2,381,120
42,067
Aflac,
Inc.
1,529,135
5,348
AG
Mortgage
Investment
Trust,
Inc.
14,760
51,200
AIA
Group,
Ltd.
508,933
1,080
Alleghany
Corporation
562,086
30,953
Allianz
SE
5,940,838
1,194
American
Equity
Investment
Life
Holding
Company
26,256
34,553
American
Express
Company
3,463,938
18,259
American
Financial
Group,
Inc.
1,222,988
31,675
American
International
Group,
Inc.
872,013
2,035
Ameriprise
Financial,
Inc.
313,614
9,253
Ameris
Bancorp
210,783
10,682
Apollo
Commercial
Real
Estate
Finance,
Inc.
96,245
1,210
Argo
Group
International
Holdings,
Ltd.
41,660
7,800
Arthur
J.
Gallagher
&
Company
823,524
2,109
Artisan
Partners
Asset
Management,
Inc.
82,230
20,268
Associated
Banc-Corp
255,782
7,459
Assured
Guaranty,
Ltd.
160,219
5,736
ASX,
Ltd.
335,359
19,564
Baloise
Holding
AG
2,880,300
5,188
Bancorp,
Inc.
a
44,824
129,448
Bank
of
America
Corporation
3,118,402
814
Bank
of
Marin
Bancorp
23,573
4,632
BankFinancial
Corporation
33,443
7,623
Banner
Corporation
245,918
24,863
Berkshire
Hills
Bancorp,
Inc.
251,365
1,962
Blackstone
Mortgage
Trust,
Inc.
43,105
38,883
Boston
Private
Financial
Holdings,
Inc.
214,634
1,017
Bridge
Bancorp,
Inc.
17,726
3,920
Brighthouse
Financial,
Inc.
a
105,487
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
85
Shares
Common
Stock
(80.4%)
Value
Financials
(10.5%)
-
continued
14,222
BrightSphere
Investment
Group
$
183,464
9,195
Brookline
Bancorp,
Inc.
79,491
1,769
Brown
&
Brown,
Inc.
80,083
2,409
Byline
Bancorp,
Inc.
27,174
39,833
Capital
One
Financial
Corporation
2,862,399
7,354
Central
Pacific
Financial
Corporation
99,794
78,181
Charles
Schwab
Corporation
2,832,498
19,619
Chubb,
Ltd.
2,278,158
207,373
CI
Financial
Corporation
2,630,416
1,821
Cincinnati
Financial
Corporation
141,983
8,481
CIT
Group,
Inc.
150,199
80,478
Citigroup,
Inc.
3,469,407
4,359
Citizens
Financial
Group,
Inc.
110,196
15,023
Comerica,
Inc.
574,630
11,294
Commonwealth
Bank
of
Australia
519,708
7,408
Community
Trust
Bancorp,
Inc.
209,350
12,519
Credit
Agricole
SA
a
109,228
1,308
Cullen/Frost
Bankers,
Inc.
83,647
472
Customers
Bancorp,
Inc.
a
5,286
182,000
DBS
Group
Holdings,
Ltd.
2,675,646
12,294
Deutsche
Boerse
AG
2,155,401
46,589
Deutsche
Pfandbriefbank
AG
a,b
308,883
265
Diamond
Hill
Investment
Group,
Inc.
33,475
30,804
Discover
Financial
Services
1,779,855
181,859
DnB
ASA
a
2,533,409
3,907
East
West
Bancorp,
Inc.
127,915
957
Encore
Capital
Group,
Inc.
a
36,931
2,103
Enterprise
Financial
Services
Corporation
57,349
9,370
Essent
Group,
Ltd.
346,784
37,419
Euronext
NV
b
4,687,361
58,737
Everi
Holdings,
Inc.
a
484,580
11,906
F.N.B.
Corporation
80,723
653
FactSet
Research
Systems,
Inc.
218,677
1,110
FBL
Financial
Group,
Inc.
53,502
698
Federal
Agricultural
Mortgage
Corporation
44,435
5,580
Financial
Institutions,
Inc.
85,932
2,295
First
American
Financial
Corporation
116,838
2,945
First
Bancorp
61,639
13,513
First
BanCorp
70,538
34
First
Bancshares,
Inc.
713
7,660
First
Busey
Corporation
121,717
572
First
Citizens
BancShares,
Inc.
182,342
3,273
First
Commonwealth
Financial
Corporation
25,333
10,693
First
Financial
Bancorp
128,369
3,925
First
Financial
Corporation
123,245
728
First
Merchants
Corporation
16,860
8,156
First
Midwest
Bancorp,
Inc.
87,922
747
First
of
Long
Island
Corporation
11,063
3,902
First
Republic
Bank
425,552
1,193
Flagstar
Bancorp,
Inc.
35,349
221,455
FlexiGroup,
Ltd.
172,595
1,260
Flushing
Financial
Corporation
13,255
35,637
Fulton
Financial
Corporation
332,493
4,078
Goldman
Sachs
Group,
Inc.
819,556
8,845
Granite
Point
Mortgage
Trust,
Inc.
62,711
6,837
Great
Southern
Bancorp,
Inc.
247,636
9,810
Great
Western
Bancorp,
Inc.
122,134
1,940
Groupe
Bruxelles
Lambert
SA
174,896
6,260
Hamilton
Lane,
Inc.
404,333
20,297
Hancock
Whitney
Corporation
381,787
Shares
Common
Stock
(80.4%)
Value
Financials
(10.5%)
-
continued
3,984
Hanmi
Financial
Corporation
$
32,709
5,563
Hanover
Insurance
Group,
Inc.
518,360
39,548
Hartford
Financial
Services
Group,
Inc.
1,457,739
11,455
Heritage
Commerce
Corporation
76,233
5,458
Hometrust
Bancshares,
Inc.
74,120
13,339
Hope
Bancorp,
Inc.
101,176
8,231
Horizon
Bancorp,
Inc.
83,051
502
Houlihan
Lokey,
Inc.
29,643
102,888
HSBC
Holdings
plc
402,526
1,679
IGM
Financial,
Inc.
38,496
7,765
Independent
Bank
Corporation
97,606
8,083
Interactive
Brokers
Group,
Inc.
390,651
782
International
Bancshares
Corporation
20,379
714,920
Israel
Discount
Bank,
Ltd.
1,928,638
50,546
J.P.
Morgan
Chase
&
Company
4,866,063
55,600
Japan
Post
Bank
Company,
Ltd.
433,670
8,200
Japan
Post
Holdings
Company,
Ltd.
55,916
19,690
Julius
Baer
Group,
Ltd.
836,281
3,368
Kemper
Corporation
225,083
5,805
L
E
Lundbergforetagen
AB
a
286,820
7,528
Ladder
Capital
Corporation
53,599
1,818
Lakeland
Bancorp,
Inc.
18,089
36,456
Laurentian
Bank
of
Canada
c
748,805
1,409
Lincoln
National
Corporation
44,144
3,181
Loews
Corporation
110,540
78
MarketAxess
Holdings,
Inc.
37,564
15,401
Mediobanca
SPA
120,682
2,485
Mercantile
Bank
Corporation
44,780
658
Meta
Financial
Group,
Inc.
12,647
36,609
MetLife,
Inc.
1,360,757
2,969
Midland
States
Bancorp,
Inc.
38,152
6,571
MidWestOne
Financial
Group,
Inc.
117,424
101,600
Mitsubishi
UFJ
Financial
Group,
Inc.
405,473
15,900
Mizrahi
Tefahot
Bank,
Ltd.
282,031
58,638
Morgan
Stanley
2,835,147
165
Morningstar,
Inc.
26,501
4,148
Mr.
Cooper
Group,
Inc.
a
92,583
6,300
MS
and
AD
Insurance
Group
Holdings,
Inc.
169,742
2,426
MSCI,
Inc.
865,548
29,150
National
Bank
of
Canada
1,447,922
109
National
Western
Life
Group,
Inc.
19,922
4,113
Northern
Trust
Corporation
320,691
3,543
OFG
Bancorp
44,146
1,418
Old
Republic
International
Corporation
20,901
4,109
Old
Second
Bancorp,
Inc.
30,797
7,080
Onex
Corporation
315,836
69,900
ORIX
Corporation
873,070
9,155
PacWest
Bancorp
156,367
13,422
Paragon
Banking
Group
plc
57,543
12,726
Pargesa
Holding
SA
1,052,065
1,536
Peoples
Bancorp,
Inc.
29,322
19,504
Popular,
Inc.
707,410
12,667
Premier
Financial
Corporation
197,289
9,290
Prosight
Global,
Inc.
a
105,349
6,731
QCR
Holdings,
Inc.
184,497
6,749
Radian
Group,
Inc.
98,603
1,900
Raiffeisen
Bank
International
AG
a
29,082
26,117
Raymond
James
Financial,
Inc.
1,900,273
8,489
Redwood
Trust,
Inc.
63,837
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
86
Shares
Common
Stock
(80.4%)
Value
Financials
(10.5%)
-
continued
7,837
Reinsurance
Group
of
America,
Inc.
$
746,004
300
Ricoh
Leasing
Company,
Ltd.
8,118
51,201
Royal
Bank
of
Canada
3,594,894
9,572
S&P
Global,
Inc.
3,451,663
968
Safety
Insurance
Group,
Inc.
66,879
10,256
Seacoast
Banking
Corporation
of
Florida
a
184,916
10,707
SEI
Investments
Company
543,059
894
Selective
Insurance
Group,
Inc.
46,032
15,100
Senshu
Ikeda
Holdings,
Inc.
25,208
122
Signature
Bank
10,125
7,126
Simmons
First
National
Corporation
112,983
35,500
Singapore
Exchange,
Ltd.
239,436
1,076
Southside
Bancshares,
Inc.
26,287
10,560
St.
James's
Place
plc
127,042
6,320
Starwood
Property
Trust,
Inc.
95,369
4,007
Sterling
Bancorp
42,154
39,300
Sumitomo
Mitsui
Financial
Group,
Inc.
1,098,860
92,493
Sun
Life
Financial,
Inc.
3,769,044
2,345
SVB
Financial
Group
a
564,254
8,097
Swiss
Life
Holding
AG
3,063,837
21,034
Synovus
Financial
Corporation
445,290
3,339
T.
Rowe
Price
Group,
Inc.
428,127
1,181
TCF
Financial
Corporation
27,588
1,625
Territorial
Bancorp,
Inc.
32,874
1,945
Texas
Capital
Bancshares,
Inc.
a
60,548
8,366
TMX
Group,
Ltd.
860,381
17,600
Tokio
Marine
Holdings,
Inc.
770,080
5,818
Topdanmark
AS
281,620
106
Torchmark
Corporation
8,469
99,744
Toronto-Dominion
Bank
4,618,090
1,945
Towne
Bank
31,898
9,784
TPG
RE
Finance
Trust,
Inc.
82,773
3,369
TriCo
Bancshares
82,507
47,490
Truist
Financial
Corporation
1,806,994
10,675
TrustCo
Bank
Corporation
55,723
7,154
Two
Harbors
Investment
Corporation
36,414
5,204
United
Bankshares,
Inc.
111,730
632
Univest
Financial
Corporation
9,082
14,671
Valley
National
Bancorp
100,496
623
Walker
&
Dunlop,
Inc.
33,019
2,182
Washington
Trust
Bancorp,
Inc.
66,900
13,553
Webster
Financial
Corporation
357,935
124,013
Wells
Fargo
&
Company
2,915,546
3,433
WesBanco,
Inc.
73,329
9,454
Western
Alliance
Bancorp
298,935
12,380
Western
Asset
Mortgage
Capital
Corporation
25,255
214
Westwood
Holdings
Group,
Inc.
2,384
11,586
Wintrust
Financial
Corporation
464,019
37,790
Zions
Bancorporations
NA
1,104,224
Total
122,122,657
Health
Care
(12.8%)
1,344
Acadia
Healthcare
Company,
Inc.
a
39,621
32,261
ACADIA
Pharmaceuticals,
Inc.
a
1,330,766
458
Acceleron
Pharma,
Inc.
a
51,539
7,009
ADMA
Biologics,
Inc.
a
16,751
3,294
Adverum
Biotechnologies,
Inc.
a
33,928
3,924
Agile
Therapeutics,
Inc.
a
11,929
6,157
Agilent
Technologies,
Inc.
621,488
11,035
Agios
Pharmaceuticals,
Inc.
a
386,225
Shares
Common
Stock
(80.4%)
Value
Health
Care
(12.8%)
-
continued
4,251
Akebia
Therapeutics,
Inc.
a
$
10,670
1,501
Alkermes
plc
a
24,872
2,654
AmerisourceBergen
Corporation
257,226
8,028
Amgen,
Inc.
2,040,396
3,088
AnaptysBio,
Inc.
a
45,548
2,060
Anavex
Life
Sciences
Corporation
a
9,373
7,040
Anthem,
Inc.
1,890,874
2,636
Arena
Pharmaceuticals,
Inc.
a
197,146
3,470
Argenx
SE
ADR
a
910,944
897
Assembly
Biosciences,
Inc.
a
14,747
32,500
Astellas
Pharmaceutical,
Inc.
484,464
1,918
Atara
Biotherapeutics,
Inc.
a
24,857
88
Atrion
Corporation
55,088
516
AVROBIO,
Inc.
a
6,718
11,288
Axonics
Modulation
Technologies,
Inc.
a,c
576,140
433
Axsome
Therapeutics,
Inc.
a
30,851
3,758
Becton,
Dickinson
and
Company
874,411
6,553
Biogen,
Inc.
a
1,858,955
8,973
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
583,335
948
Bio-Rad
Laboratories,
Inc.
a
488,656
5,492
Bio-Techne
Corporation
1,360,533
1,139
Bluebird
Bio,
Inc.
a
61,449
687
Bruker
Corporation
27,308
1,831
Cantel
Medical
Corporation
80,454
22,573
Catalent,
Inc.
a
1,933,603
41,040
Centene
Corporation
a
2,393,863
26,011
Cerner
Corporation
1,880,335
2,529
Charles
River
Laboratories
International,
Inc.
a
572,692
633
Chemed
Corporation
304,062
35,500
Chugai
Pharmaceutical
Company,
Ltd.
1,593,080
14,866
Cigna
Holding
Company
2,518,449
2,250
Clovis
Oncology,
Inc.
a
13,117
5,568
CryoLife,
Inc.
a
102,841
22,450
CSL,
Ltd.
4,637,427
26,480
CVS
Health
Corporation
1,546,432
3,402
CytomX
Therapeutics,
Inc.
a
22,623
38,800
Daiichi
Sankyo
Company,
Ltd.
1,191,073
480
Deciphera
Pharmaceuticals,
Inc.
a
24,624
3,229
Dexcom,
Inc.
a
1,331,091
5,124
Dynavax
Technologies
Corporation
a
22,136
1,416
Editas
Medicine,
Inc.
a
39,733
38,033
Edwards
Lifesciences
Corporation
a
3,035,794
360
Encompass
Health
Corporation
23,393
10,104
Gilead
Sciences,
Inc.
638,472
351,203
GlaxoSmithKline
plc
6,584,210
38,289
GlaxoSmithKline
plc
ADR
1,441,198
3,833
Global
Blood
Therapeutics,
Inc.
a
211,352
1,201
Grifols
SA
34,535
16,545
Guardant
Health,
Inc.
a
1,849,400
3,319
Haemonetics
Corporation
a
289,583
11,914
Halozyme
Therapeutics,
Inc.
a
313,100
14,350
HCA
Healthcare,
Inc.
1,789,158
607
HealthStream,
Inc.
a
12,182
5,203
Hill-Rom
Holdings,
Inc.
434,503
6,197
Humana,
Inc.
2,564,876
22
ICU
Medical,
Inc.
a
4,021
288
IDEXX
Laboratories,
Inc.
a
113,216
5,466
ImmunoGen,
Inc.
a
19,678
1,301
Insmed,
Inc.
a
41,814
6,474
Inspire
Medical
Systems,
Inc.
a
835,470
4,356
Insulet
Corporation
a
1,030,586
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
87
Shares
Common
Stock
(80.4%)
Value
Health
Care
(12.8%)
-
continued
6,230
Intuitive
Surgical,
Inc.
a
$
4,420,434
2,993
Invitae
Corporation
a
129,747
1,790
Iovance
Biotherapeutics,
Inc.
a
58,927
174
IQVIA
Holding,
Inc.
a
27,428
35,825
Johnson
&
Johnson
5,333,626
7,000
KYORIN
Holdings,
Inc.
141,898
1,060
Laboratory
Corporation
of
America
Holdings
a
199,566
13,750
LHC
Group,
Inc.
a
2,922,700
453
Lifco
AB
35,038
2,203
Ligand
Pharmaceuticals,
Inc.
a,c
209,990
2,275
LNA
Sante
126,321
11,600
M3,
Inc.
717,533
1,906
MacroGenics,
Inc.
a
48,012
6,100
Medipal
Holdings
Corporation
122,319
42,350
Medtronic
plc
4,401,012
62,739
Merck
&
Company,
Inc.
5,204,200
1,177
Mersana
Therapeutics,
Inc.
a
21,916
1,078
Mesa
Laboratories,
Inc.
274,631
130
Mettler-Toledo
International,
Inc.
a
125,547
186
Mirati
Therapeutics,
Inc.
a
30,885
3,603
Molina
Healthcare,
Inc.
a
659,493
4,825
MyoKardia,
Inc.
a
657,792
1,753
Myovant
Sciences,
Ltd.
a
24,630
12,878
Natera,
Inc.
a
930,307
3,957
National
Healthcare
Corporation
246,561
1,207
Nektar
Therapeutics
a
20,024
849
Neogen
Corporation
a
66,434
1,430
Neurocrine
Biosciences,
Inc.
a
137,509
10,542
Nevro
Corporation
a
1,468,501
115,477
Novartis
AG
10,026,212
89,300
Novo
Nordisk
AS
6,187,114
25,105
Novo
Nordisk
AS
ADR
1,743,040
6,500
Olympus
Corporation
135,172
24,569
Optinose,
Inc.
a
95,819
1,528
Orthifix
Medical,
Inc.
a
47,582
9,229
PRA
Health
Sciences,
Inc.
a
936,190
799
Precision
BioSciences,
Inc.
a
4,922
1,348
Quest
Diagnostics,
Inc.
154,333
528
Reata
Pharmaceuticals,
Inc.
a
51,438
44,622
Recordati
SPA
2,285,776
4,017
Repligen
Corporation
a
592,668
168
Replimune
Group,
Inc.
a
3,867
2,335
Retrophin,
Inc.
a
43,104
31,510
Roche
Holding
AG
10,793,453
1,873
Sage
Therapeutics,
Inc.
a
114,478
14,882
Sanofi
1,491,361
1,967
Sarepta
Therapeutics,
Inc.
a
276,226
8,200
Sawai
Pharmaceutical
Company,
Ltd.
413,740
13,979
Silk
Road
Medical,
Inc.
a
939,529
8,950
Sonova
Holding
AG
a
2,268,066
3,983
Spectrum
Pharmaceuticals,
Inc.
a
16,251
10,221
Stryker
Corporation
2,129,750
446
Surmodics,
Inc.
a
17,354
600
Sysmex
Corporation
57,409
13,293
Tactile
Systems
Technology,
Inc.
a
486,391
36,700
Takeda
Pharmaceutical
Company,
Ltd.
1,311,766
2,066
Tecan
Group
AG
1,027,454
6,814
Teladoc
Health,
Inc.
a,c
1,493,901
3,970
Teleflex,
Inc.
1,351,467
4,188
Tenet
Healthcare
Corporation
a
102,648
7,600
Terumo
Corporation
302,592
7,757
Thermo
Fisher
Scientific,
Inc.
3,424,871
1,795
Tilray,
Inc.
a
8,706
Shares
Common
Stock
(80.4%)
Value
Health
Care
(12.8%)
-
continued
500
Toho
Holdings
Company,
Ltd.
$
10,782
3,500
Tsumura
&
Company
109,074
966
U.S.
Physical
Therapy,
Inc.
83,926
462
uniQure
B.V.
a
17,015
749
United
Therapeutics
Corporation
a
75,649
18,761
VBI
Vaccines,
Inc.
a,c
53,656
16,691
Veeva
Systems,
Inc.
a
4,693,342
10,944
Vertex
Pharmaceuticals,
Inc.
a
2,978,081
571
Viking
Therapeutics,
Inc.
a
3,323
1,217
Waters
Corporation
a
238,143
183
West
Pharmaceutical
Services,
Inc.
50,307
6,512
Zimmer
Biomet
Holdings,
Inc.
886,544
29,879
Zoetis,
Inc.
4,941,090
4,431
Zymeworks,
Inc.
a
206,396
Total
149,245,943
Industrials
(10.4%)
12,091
A.O.
Smith
Corporation
638,405
48
A.P.
Moller
-
Maersk
AS,
Class
A
70,262
585
A.P.
Moller
-
Maersk
AS,
Class
B
924,816
35,561
Aalberts
NV
1,278,767
455
Acuity
Brands,
Inc.
46,569
2,909
AECOM
a
121,713
1,965
Aegion
Corporation
a
27,765
12,608
Aerojet
Rocketdyne
Holdings,
Inc.
a
502,933
1,427
Akzo
Nobel
NV
144,228
1,925
Allegion
plc
190,402
17,454
Altra
Industrial
Motion
Corporation
645,274
4,782
American
Airlines
Group,
Inc.
c
58,771
4,853
AMETEK,
Inc.
482,388
17,239
ASGN,
Inc.
a
1,095,711
89,341
Assa
Abloy
AB
2,088,803
82,272
Atlas
Copco
AB,
Class
A
3,922,630
25,040
Atlas
Copco
AB,
Class
B
1,045,018
1,661
Avis
Budget
Group,
Inc.
a
43,718
11,181
AZZ,
Inc.
381,496
991
Bloom
Energy
Corporation
a
17,808
4,284
Boeing
Company
707,974
7,012
BWX
Technologies,
Inc.
394,846
15,327
Canadian
National
Railway
Company
1,632,325
11,352
Carlisle
Companies,
Inc.
1,389,144
75,975
Carrier
Global
Corporation
2,320,276
16,283
CBIZ,
Inc.
a
372,392
8,726
Chart
Industries,
Inc.
a
613,176
15,805
CIA
De
Distribucion
Integral
269,789
5,446
Copart,
Inc.
a
572,701
1,758
CRA
International,
Inc.
65,872
11,886
Crane
Company
595,845
6,101
CSW
Industrials,
Inc.
471,302
17,688
CSX
Corporation
1,373,827
7,089
Curtiss-Wright
Corporation
661,120
1,200
Daikin
Industries,
Ltd.
221,729
50,150
Delta
Air
Lines,
Inc.
1,533,587
9,476
Deutsche
Post
AG
429,981
1,395
Douglas
Dynamics,
Inc.
47,709
9,845
EMCOR
Group,
Inc.
666,605
4,290
Expeditors
International
of
Washington,
Inc.
388,331
52,779
Experian
plc
1,983,147
42
Exponent,
Inc.
3,025
10,707
Fluor
Corporation
94,329
8,986
Forrester
Research,
Inc.
a
294,651
7,284
Forward
Air
Corporation
417,956
5,276
FuelCell
Energy,
Inc.
a
11,291
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
88
Shares
Common
Stock
(80.4%)
Value
Industrials
(10.4%)
-
continued
4,236
Geberit
AG
$
2,506,121
2,828
Generac
Holdings,
Inc.
a
547,614
15,009
General
Dynamics
Corporation
2,077,696
3,819
Gorman-Rupp
Company
112,508
8,700
GS
Yuasa
Corporation
150,341
197,964
GWA
Group,
Ltd.
396,092
13,300
Hanwa
Company,
Ltd.
266,232
16,282
Honeywell
International,
Inc.
2,680,180
5,026
Hubbell,
Inc.
687,758
1,257
ICF
International,
Inc.
77,343
8,666
IDEX
Corporation
1,580,765
48,300
Inaba
Denki
Sangyo
Company,
Ltd.
1,213,186
473
JB
Hunt
Transport
Services,
Inc.
59,778
8,514
Jet2
plc
73,710
73,015
Johnson
Controls
International
plc
2,982,663
29,800
Kamigumi
Company,
Ltd.
587,220
10,320
Kansas
City
Southern
1,866,166
52,400
Kinden
Corporation
925,450
49,073
Koninklijke
Philips
NV
a
2,317,198
523
Kuehne
&
Nagel
International
AG
101,553
2,674
L3Harris
Technologies,
Inc.
454,152
4,681
Landstar
System,
Inc.
587,419
67,286
Legrand
SA
5,378,715
2,335
Lennox
International,
Inc.
636,544
14,016
Lincoln
Electric
Holdings,
Inc.
1,290,033
6,299
Lockheed
Martin
Corporation
2,414,281
3,334
Manpower,
Inc.
244,482
191,700
Marubeni
Corporation
1,088,359
1,371
Masonite
International
Corporation
a
134,906
10,333
Mercury
Systems,
Inc.
a
800,394
35,228
Meritor,
Inc.
a
737,674
9,502
Middleby
Corporation
a
852,424
117,300
Mitsubishi
Corporation
2,807,618
88,000
Mitsubishi
Electric
Corporation
1,194,090
19,000
Mitsuboshi
Belting,
Ltd.
309,188
171,900
Mitsui
&
Company,
Ltd.
2,953,727
2,640
MSC
Industrial
Direct
Company,
Inc.
167,059
43,720
National
Express
Group
plc
a
85,932
1,600
Nikkon
Holdings
Company,
Ltd.
34,686
2,200
Nishimatsu
Construction
Company,
Ltd.
43,700
71,400
Nitto
Kogyo
Corporation
1,418,809
32,771
Nobina
AB
a,b
215,429
2,115
Nordson
Corporation
405,699
10,133
Norfolk
Southern
Corporation
2,168,361
5,115
Old
Dominion
Freight
Line,
Inc.
925,406
17,172
Otis
Worldwide
Corporation
1,071,876
103,241
PageGroup
plc
a
497,694
12,641
Parker-Hannifin
Corporation
2,557,780
2,886
Quad/Graphics,
Inc.
8,745
34,355
Raytheon
Technologies
Corporation
1,976,787
13,900
Recruit
Holdings
Company,
Ltd.
552,044
23,378
Redde
Northgate
plc
55,649
5,254
Regal-Beloit
Corporation
493,193
209,175
RELX
plc
4,655,854
693
Republic
Services,
Inc.
64,692
16,365
Ritchie
Brothers
Auctioneers,
Inc.
969,626
1,223
Rockwell
Automation,
Inc.
269,892
2,177
Roper
Industries,
Inc.
860,154
2,044
Ryder
System,
Inc.
86,339
4,846
Saia,
Inc.
a
611,274
10,925
Sandvik
AB
a
213,642
Shares
Common
Stock
(80.4%)
Value
Industrials
(10.4%)
-
continued
1,600
Sanwa
Holdings
Corporation
$
16,965
47,565
Schneider
Electric
SE
5,912,312
54,397
SEEK,
Ltd.
839,153
33,480
Signify
NV
a,b
1,238,334
2,402
Simpson
Manufacturing
Company,
Inc.
233,378
2,991
SiteOne
Landscape
Supply,
Inc.
a
364,752
24,059
SKF
AB
496,351
1,317
Snap-On,
Inc.
193,770
632,800
Sojitz
Corporation
c
1,436,090
18,162
Southwest
Airlines
Company
681,075
327
SP
Plus
Corporation
a
5,870
11,231
Spirax-Sarco
Engineering
plc
1,599,322
1,852
Spirit
Airlines,
Inc.
a,c
29,817
781
SPX
FLOW,
Inc.
a
33,442
10,681
Standex
International
Corporation
632,315
810
Stantec,
Inc.
24,594
142,400
Sumitomo
Corporation
1,716,560
25,236
Summit
Materials,
Inc.
a
417,403
5,200
Taikisha,
Ltd.
144,234
1,800
Taisei
Corporation
60,925
1,075
Teledyne
Technologies,
Inc.
a
333,476
11,276
TFI
International,
Inc.
471,516
1,445
Thermon
Group
Holdings,
Inc.
a
16,227
18,500
Toppan
Forms
Company,
Ltd.
176,113
6,188
Toro
Company
519,483
18,207
Transcontinental,
Inc.
c
224,793
53,342
Transurban
Group
544,670
14,376
Trex
Company,
Inc.
a
1,029,322
14,232
TriMas
Corporation
a
324,490
17,700
Tsubakimoto
Chain
Company
416,395
1,464
UniFirst
Corporation
277,238
4,087
United
Airlines
Holdings,
Inc.
a
142,023
15,279
United
Rentals,
Inc.
a
2,666,186
5,385
Valmont
Industries,
Inc.
668,709
2,752
Verisk
Analytics,
Inc.
509,973
3,657
Waste
Connections,
Inc.
379,597
2,236
Watsco,
Inc.
520,742
18,837
Willdan
Group,
Inc.
a
480,532
3,834
XPO
Logistics,
Inc.
a
324,586
11,200
Yuasa
Trading
Company,
Ltd.
350,004
Total
121,217,046
Information
Technology
(16.6%)
12,753
Adobe,
Inc.
a
6,254,454
1,922
ADTRAN,
Inc.
19,710
5,600
Advantest
Corporation
272,387
4,300
Alliance
Data
Systems
Corporation
180,514
1,531
American
Software,
Inc.
21,495
11,892
Amphenol
Corporation
1,287,547
18,722
Anaplan,
Inc.
a
1,171,623
570
ANSYS,
Inc.
a
186,521
199,340
Apple,
Inc.
23,085,565
1,517
ASM
International
NV
217,452
13,717
ASML
Holding
NV
5,066,720
1,127
Aspen
Technology,
Inc.
a
142,667
3,657
Atlassian
Corporation
plc
a
664,806
7,490
Avalara,
Inc.
a
953,777
2,218
Avnet,
Inc.
57,313
600
Azbil
Corporation
22,482
5,499
Bandwidth,
Inc.
a,c
959,960
10,887
BE
Semiconductor
Industries
NV
466,748
7,611
Benchmark
Electronics,
Inc.
153,362
7,143
Blackline,
Inc.
a
640,227
1,611
Broadridge
Financial
Solutions,
Inc.
212,652
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
89
Shares
Common
Stock
(80.4%)
Value
Information
Technology
(16.6%)
-
continued
549
CACI
International,
Inc.
a
$
117,025
500
Canon
Electronics,
Inc.
7,007
26,900
Canon,
Inc.
446,178
3,847
Capgemini
SA
493,555
12,047
CDK
Global,
Inc.
525,129
21,213
CDW
Corporation
2,535,590
914
Ceridian
HCM
Holding,
Inc.
a
75,542
66,838
CGI,
Inc.
a
4,536,682
137,246
Cisco
Systems,
Inc.
5,406,120
5,544
Cognex
Corporation
360,914
3,400
Computer
Engineering
&
Consulting,
Ltd.
52,751
102,854
Computershare,
Ltd.
909,921
5,730
Coupa
Software,
Inc.
a
1,571,395
4,567
Cree,
Inc.
a
291,101
4,869
CTS
Corporation
107,264
8,869
Descartes
Systems
Group,
Inc.
a
505,356
5,722
Dialog
Semiconductor
plc
a
249,393
6,629
DocuSign,
Inc.
a
1,426,826
17,469
Dolby
Laboratories,
Inc.
1,157,845
766
Domo,
Inc.
a
29,361
1,193
DSP
Group,
Inc.
a
15,724
4,300
DTS
Corporation
91,510
14,623
Elastic
NV
a
1,577,675
7,591
Endava
plc
ADR
a
479,372
1,221
EPAM
Systems,
Inc.
a
394,725
3,120
ePlus,
Inc.
a
228,384
11,326
Euronet
Worldwide,
Inc.
a
1,031,799
19,798
Eventbrite,
Inc.
a
214,808
4,175
ExlService
Holdings,
Inc.
a
275,425
845
eXp
World
Holdings,
Inc.
a
34,087
2,005
F5
Networks,
Inc.
a
246,154
678
Fair
Isaac
Corporation
a
288,408
7,662
Five9,
Inc.
a
993,608
456
FLIR
Systems,
Inc.
16,348
24,200
Fuji
Soft,
Inc.
1,247,892
7,318
Global
Payments,
Inc.
1,299,530
6,765
Guidewire
Software,
Inc.
a
705,387
170,586
Halma
plc
5,153,746
9,240
Health
Catalyst,
Inc.
a
338,184
12,600
Hitachi,
Ltd.
426,629
10,500
Hoya
Corporation
1,185,621
4,020
II-VI,
Inc.
a
163,051
4,198
Inphi
Corporation
a
471,225
2,033
InterDigital,
Inc.
116,003
4,400
ITOCHU
Techno-Solutions
Corporation
166,916
1,067
Jack
Henry
&
Associates,
Inc.
173,484
4,400
Japan
Material
Company,
Ltd.
61,692
4,898
Juniper
Networks,
Inc.
105,307
400
Kanematsu
Electronics,
Ltd.
16,247
4,700
Keyence
Corporation
2,197,153
51
KLA-Tencor
Corporation
9,881
2,209
Lam
Research
Corporation
732,836
4,100
Lasertec
Corporation
337,015
15,652
Lattice
Semiconductor
Corporation
a
453,282
467
Littelfuse,
Inc.
82,818
13,063
Lumentum
Holdings,
Inc.
a
981,423
894
Manhattan
Associates,
Inc.
a
85,368
1,590
ManTech
International
Corporation
109,519
29,175
MasterCard,
Inc.
9,866,110
986
MaxLinear,
Inc.
a
22,915
23,105
Medallia,
Inc.
a,c
633,539
608
Methode
Electronics,
Inc.
17,328
337
Microchip
Technology,
Inc.
34,630
Shares
Common
Stock
(80.4%)
Value
Information
Technology
(16.6%)
-
continued
121,801
Microsoft
Corporation
$
25,618,404
1,824
MicroStrategy,
Inc.
a
274,621
11,111
MKS
Instruments,
Inc.
1,213,655
10,427
Monolithic
Power
Systems,
Inc.
2,915,493
721
Motorola
Solutions,
Inc.
113,060
5,787
MTS
Systems
Corporation
110,590
3,700
Murata
Manufacturing
Company,
Ltd.
240,601
77,900
NEC
Networks
&
System
Integration
Corporation
1,497,425
212
NetApp,
Inc.
9,294
3,162
Nice,
Ltd.
ADR
a
717,869
5,714
Nova
Measuring
Instruments,
Ltd.
a
297,928
3,018
Novanta,
Inc.
a
317,916
3,500
NS
Solutions
Corporation
107,845
5,900
NSD
Company,
Ltd.
115,885
1,900
NTT
Data
Corporation
24,315
15,680
NVIDIA
Corporation
8,486,330
1,000
OBIC
Company,
Ltd.
175,863
30,517
Oracle
Corporation
1,821,865
4,200
Oracle
Corporation
Japan
453,503
3,600
Otsuka
Corporation
183,965
3,785
Palo
Alto
Networks,
Inc.
a
926,379
25
Paylocity
Holding
Corporation
a
4,035
32,041
PayPal
Holdings,
Inc.
a
6,313,038
1,529
Progress
Software
Corporation
56,084
3,084
Proofpoint,
Inc.
a
325,516
5,871
Q2
Holdings,
Inc.
a
535,787
3,066
QAD,
Inc.
129,385
2,397
Qorvo,
Inc.
a
309,237
22,872
QUALCOMM,
Inc.
2,691,577
401
Qualys,
Inc.
a
39,302
3,050
Rogers
Corporation
a
299,083
11,600
Ryoyo
Electro
Corporation
c
322,228
10,940
Sage
Group
plc
101,668
15,941
SailPoint
Technologies
Holdings,
Inc.
a
630,785
8,835
Salesforce.com,
Inc.
a
2,220,412
2,046
Samsung
Electronics
Company,
Ltd.
GDR
2,594,172
3,649
SAP
SE
568,219
2,887
ScanSource,
Inc.
a
57,249
1,982
Semtech
Corporation
a
104,967
14,911
ServiceNow,
Inc.
a
7,231,835
1,394
Silicon
Laboratories,
Inc.
a
136,403
174
Solaredge
Technology,
Ltd.
a
41,473
30,267
Square,
Inc.
a
4,919,901
27,948
STMicroelectronics
NV
ADR
857,724
4,377
Synopsys,
Inc.
a
936,590
3,418
TE
Connectivity,
Ltd.
334,075
4,325
Technology
One,
Ltd.
24,777
22,342
Texas
Instruments,
Inc.
3,190,214
12,800
TIS,
Inc.
271,872
5,900
Tokyo
Electron,
Ltd.
1,541,403
144
Tyler
Technologies,
Inc.
a
50,193
2,243
VeriSign,
Inc.
a
459,479
57,745
Visa,
Inc.
11,547,268
6,477
VMware,
Inc.
a,c
930,551
3,148
WEX,
Inc.
a
437,478
6,699
Workiva,
Inc.
a
373,536
740
Worldline
SA
a,b
60,594
581
Zendesk,
Inc.
a
59,796
5,527
Zscaler,
Inc.
a
777,594
Total
193,034,001
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
90
Shares
Common
Stock
(80.4%)
Value
Materials
(4.1%)
2,690
AdvanSix,
Inc.
a
$
34,647
21,352
Air
Liquide
SA
3,384,519
57,800
Air
Water,
Inc.
781,728
3,410
AptarGroup,
Inc.
386,012
1,438
Avery
Dennison
Corporation
183,834
57,141
Axalta
Coating
Systems,
Ltd.
a
1,266,816
166
Balchem
Corporation
16,207
44,434
BHP
Group,
Ltd.
1,147,891
7,665
Buzzi
Unicem
SPA
178,086
2,713
Cabot
Corporation
97,749
1,231
Carpenter
Technology
Corporation
22,355
1,346
Celanese
Corporation
144,628
25,219
Centamin
plc
65,839
55,149
CF
Industries
Holdings,
Inc.
1,693,626
10,929
Chemours
Company
228,525
612
Christian
Hansen
Holding
AS
67,936
20,443
Croda
International
plc
1,649,058
40,529
Eastman
Chemical
Company
3,166,125
13,586
Ecolab,
Inc.
2,715,026
833
EMS-CHEMIE
Holding
AG
c
748,422
1,978
Eramet
SA
a
49,926
1,104
FMC
Corporation
116,925
335
Givaudan
SA
1,446,466
65,042
Granges
AB
a
580,543
100,450
Hexpol
AB
a
898,537
78,755
Hochschild
Mining
plc
a
222,075
9,183
Holmen
AB
340,735
1,412
IAMGOLD
Corporation
a
5,408
2,864
IMCD
NV
340,631
1,919
Ingevity
Corporation
a
94,875
6,054
Innospec,
Inc.
383,339
7,470
Kaiser
Aluminum
Corporation
400,317
36,490
Koninklijke
DSM
NV
6,007,443
1,195
Kraton
Performance
Polymers,
Inc.
a
21,295
52,500
Kyoei
Steel,
Ltd.
674,815
6,800
Lintec
Corporation
158,341
16,861
Louisiana-Pacific
Corporation
497,568
7,034
Martin
Marietta
Materials,
Inc.
1,655,522
3,508
Materion
Corporation
182,521
3,571
Minerals
Technologies,
Inc.
182,478
8,037
Myers
Industries,
Inc.
106,330
6,181
Neenah,
Inc.
231,602
800
Nippon
Steel
Trading
Corporation
22,854
4,304
Novozymes
AS
270,517
31,594
Nucor
Corporation
1,417,307
1,133
Olympic
Steel,
Inc.
12,871
3,342
PPG
Industries,
Inc.
407,991
4,367
Quaker
Chemical
Corporation
784,794
35,722
Ramelius
Resources,
Ltd.
53,952
717
Reliance
Steel
&
Aluminum
Company
73,163
16,014
Rio
Tinto
plc
963,607
17,613
Rio
Tinto,
Ltd.
1,202,993
1,033
RPM
International,
Inc.
85,574
4,581
Ryerson
Holding
Corporation
a
26,249
142,577
Sandfire
Resources,
Ltd.
421,353
873
Scotts
Miracle-Gro
Company
133,490
2,799
Sensient
Technologies
Corporation
161,614
1,900
Shin-Etsu
Chemical
Company,
Ltd.
248,623
10,713
Sika
AG
2,630,596
45,619
Silver
Lake
Resources,
Ltd.
a
76,576
3,619
Steel
Dynamics,
Inc.
103,612
145,700
Sumitomo
Chemical
Company,
Ltd.
482,264
17,412
Symrise
AG
2,405,003
Shares
Common
Stock
(80.4%)
Value
Materials
(4.1%)
-
continued
8,800
Taiyo
Holdings
Company,
Ltd.
$
460,808
38,400
Toagosei
Company,
Ltd.
411,537
267,700
Toray
Industries,
Inc.
1,224,729
26,000
Ube
Industries,
Ltd.
439,069
4,880
United
States
Steel
Corporation
35,819
783
W.
R.
Grace
&
Company
31,547
2,438
Wacker
Chemie
AG
236,599
1,165
Worthington
Industries,
Inc.
47,509
21,458
Yara
International
ASA
825,699
Total
48,275,040
Real
Estate
(3.6%)
17,959
Agree
Realty
Corporation
1,142,911
33,676
Allied
Properties
REIT
906,676
45,728
Alstria
Office
REIT
AG
635,863
31,068
American
Campus
Communities,
Inc.
1,084,895
13,051
American
Tower
Corporation
3,154,818
5,774
Apartment
Investment
&
Management
Company
194,699
5,133
Armada
Hoffler
Properties,
Inc.
47,532
645,632
Ascendas
REIT
1,544,954
1,702
Ashford
Hospitality
Trust,
Inc.
2,808
7,565
AvalonBay
Communities,
Inc.
1,129,757
293
BBX
Capital
Corporation
3,923
86
Bluerock
Residential
Growth
REIT,
Inc.
652
7,929
Camden
Property
Trust
705,522
5,486
CareTrust
REIT,
Inc.
97,623
39,265
Castellum
AB
891,877
15,582
CBL
&
Associates
Properties,
Inc.
a
2,510
37,092
CBRE
Group,
Inc.
a
1,742,211
18,556
Cedar
Realty
Trust,
Inc.
15,030
38,193
Choice
Properties
REIT
366,570
1,221
Cofinimmo
SA
183,603
2,617
Colony
Credit
Real
Estate,
Inc.
12,849
2,984
Columbia
Property
Trust,
Inc.
32,555
1,944
Community
Healthcare
Trust,
Inc.
90,901
2,204
Corepoint
Lodging,
Inc.
12,012
1,620
CoreSite
Realty
Corporation
192,586
1,691
CoStar
Group,
Inc.
a
1,434,830
22,751
Cushman
and
Wakefield
plc
a
239,113
20
CyrusOne,
Inc.
1,401
17,000
Daito
Trust
Construction
Company,
Ltd.
1,506,962
5,937
Diversified
Healthcare
Trust
20,898
1,326
EastGroup
Properties,
Inc.
171,492
12,877
Entra
ASA
b,c
180,960
3,666
EPR
Properties
100,815
3,255
Equity
Lifestyle
Properties,
Inc.
199,532
18,797
Essential
Properties
Realty
Trust,
Inc.
344,361
833
Essex
Property
Trust,
Inc.
167,258
2,915
Farmland
Partners,
Inc.
19,414
16,654
First
Industrial
Realty
Trust,
Inc.
662,829
4,310
FirstService
Corporation
568,446
10,516
Four
Corners
Property
Trust,
Inc.
269,104
12
Frontier
Real
Estate
Investment
Corporation
40,878
21
Fukuoka
REIT
Corporation
27,271
4,381
Gaming
and
Leisure
Properties,
Inc.
161,790
3,904
Getty
Realty
Corporation
101,543
2,713
Gladstone
Commercial
Corporation
45,714
249
Gladstone
Land
Corporation
3,740
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
91
Shares
Common
Stock
(80.4%)
Value
Real
Estate
(3.6%)
-
continued
1,673
Global
Medical
REIT,
Inc.
$
22,586
49,244
Granite
REIT
2,858,005
15
Hankyu
REIT,
Inc.
17,467
6,526
Healthcare
Realty
Trust,
Inc.
196,563
75,799
Host
Hotels
&
Resorts,
Inc.
817,871
58,000
Hysan
Development
Company,
Ltd.
174,430
7,298
Industrial
Logistics
Properties
Trust
159,607
1,775
Innovative
Industrial
Properties,
Inc.
220,295
302
Invesco
Office
J-Reit,
Inc.
41,837
1,365
Investors
Real
Estate
Trust
88,957
139
Japan
Hotel
REIT
Investment
Corporation
68,681
25
Japan
Prime
Realty
Investment
Corporation
77,566
2,475
Jones
Lang
LaSalle,
Inc.
236,759
16,163
Kilroy
Realty
Corporation
839,829
8,861
Kungsleden
AB
83,880
735
Lamar
Advertising
Company
48,635
1,686
LEG
Immobilien
AG
240,322
3,796
Lexington
Realty
Trust
39,668
166,500
Mapletree
Commercial
Trust
239,189
27,368
Medical
Properties
Trust,
Inc.
482,498
755
MGM
Growth
Properties
LLC
21,125
96
Mori
Trust
Sogo
REIT,
Inc.
121,426
591
National
Health
Investors,
Inc.
35,620
9,366
National
Retail
Properties,
Inc.
323,221
24,432
National
Storage
Affiliates
Trust
799,171
13,859
New
Residential
Investment
Corporation
110,179
4,087
New
Senior
Investment
Group,
Inc.
16,348
6,310
NexPoint
Residential
Trust,
Inc.
279,849
91
Nomura
Real
Estate
Master
Fund,
Inc.
114,002
4,944
Omega
Healthcare
Investors,
Inc.
148,023
2,365
One
Liberty
Properties,
Inc.
38,691
2,373
Physicians
Realty
Trust
42,500
1,796
PotlatchDeltic
Corporation
75,612
4,879
Preferred
Apartment
Communities,
Inc.
26,347
28,948
PSP
Swiss
Property
AG
3,496,941
70,124
Quebecor,
Inc.
1,754,219
2,990
Realty
Income
Corporation
181,643
469
Retail
Properties
of
America,
Inc.
2,725
8,707
Rexford
Industrial
Realty,
Inc.
398,432
377
RMR
Group,
Inc.
10,356
115,000
Road
King
Infrastructure,
Ltd.
137,426
16,934
Sabra
Health
Care
REIT,
Inc.
233,435
2,334
SBA
Communications
Corporation
743,332
30,462
Service
Properties
Trust
242,173
6,310
Spirit
Realty
Capital,
Inc.
212,963
6,032
STAG
Industrial,
Inc.
183,916
6,129
Store
Capital
Corporation
168,118
108,665
TAG
Immobilien
AG
3,276,688
4,819
UDR,
Inc.
157,148
2,379
UMH
Properties,
Inc.
32,212
106
United
Urban
Investment
Corporation
117,952
7,821
Uniti
Group,
Inc.
82,394
100
Universal
Health
Realty
Income
Trust
5,699
21,722
Waypoint
REIT,
Ltd.
42,454
269,300
Wing
Tai
Holdings,
Ltd.
344,174
Shares
Common
Stock
(80.4%)
Value
Real
Estate
(3.6%)
-
continued
1,756
WP
Carey,
Inc.
$
114,421
Total
41,509,268
Utilities
(0.8%)
1,197
ALLETE,
Inc.
61,933
2,850
Artesian
Resources
Corporation
98,239
1,581
Black
Hills
Corporation
84,568
411
Chesapeake
Utilities
Corporation
34,647
2,531
Consolidated
Water
Company,
Ltd.
26,348
1,429
DTE
Energy
Company
164,392
23,210
Duke
Energy
Corporation
2,055,478
65,333
Enagas
SA
1,507,446
28,361
Enel
SPA
246,059
11,780
Entergy
Corporation
1,160,683
1,080
Essential
Utilities,
Inc.
43,470
28,689
Exelon
Corporation
1,025,919
29,818
FirstEnergy
Corporation
856,075
2,696
Hawaiian
Electric
Industries,
Inc.
89,615
1,813
IDACORP,
Inc.
144,859
407
Middlesex
Water
Company
25,295
1,097
National
Fuel
Gas
Company
44,527
4,591
New
Jersey
Resources
Corporation
124,049
3,061
NextEra
Energy,
Inc.
849,611
4,478
Northland
Power,
Inc.
135,462
622
Northwest
Natural
Holding
Company
28,233
4,476
OGE
Energy
Corporation
134,235
1,450
Otter
Tail
Corporation
52,446
836
South
Jersey
Industries,
Inc.
16,110
1,825
Southwest
Gas
Holdings,
Inc.
115,157
1,508
Spire,
Inc.
80,226
6,426
UGI
Corporation
211,929
1,118
Unitil
Corporation
43,199
Total
9,460,210
Total
Common
Stock
(cost
$757,723,882)
935,659,311
Shares
Registered
Investment
Companies
(
4.7%
)
Value
Unaffiliated (2.2%)
355,284
iShares
Russell
Mid
Cap
ETF
20,386,196
12,825
SPDR
S&P
500
ETF
Trust
4,294,964
6,550
SPDR
S&P
Regional
Banking
ETF
233,704
2,940
Utilities
Select
Sector
SPDR
Fund
c
174,577
Total
25,089,441
Affiliated (2.5%)
2,869,002
Thrivent
Core
Emerging
Markets
Equity
Fund
a
29,263,825
Total
29,263,825
Total
Registered
Investment
Companies
(cost
$52,258,204)
54,353,266
Shares
Collateral
Held
for
Securities
Loaned
(
1.0%
)
Value
11,485,239
Thrivent
Cash
Management
Trust
11,485,239
Total
Collateral
Held
for
Securities
Loaned
(cost
$11,485,239)
11,485,239
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
92
Shares
or
Principal
Amount
Short-Term
Investments
(
14.4%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
4,300,000
0.060%,
10/7/2020
d,e
$
4,299,957
3,200,000
0.067%,
10/14/2020
d,e
3,199,931
700,000
0.080%,
10/28/2020
d,e
699,968
300,000
0.060%,
11/4/2020
d,e
299,980
4,700,000
0.090%,
11/6/2020
d,e
4,699,671
300,000
0.060%,
11/10/2020
d,e
299,977
200,000
0.080%,
11/12/2020
d,e
199,984
2,100,000
0.070%,
11/18/2020
d,e
2,099,804
1,400,000
0.070%,
11/19/2020
d,e
1,399,867
300,000
0.055%,
12/9/2020
d,e
299,948
6,400,000
0.055%,
12/10/2020
d,e
6,398,880
2,700,000
0.075%,
12/22/2020
d,e
2,699,446
300,000
0.092%,
12/28/2020
d,e
299,934
Thrivent
Core
Short-Term
Reserve
Fund
14,079,699
0.310%
140,796,987
Total
Short-Term
Investments
(cost
$167,605,250)
167,694,334
Total
Investments
(cost
$989,072,575)
100.5%
$1,169,192,150
Other
Assets
and
Liabilities,
Net
(0.5%)
(5,948,905)
Total
Net
Assets
100.0%
$1,163,243,245
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$11,423,600
or
1.0%
of
total
net
assets.
c
All
or
a
portion
of
the
security
is
on
loan.
d
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
e
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Global
Stock
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
11,113,471
Total
lending
$11,113,471
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$11,485,239
Net
amounts
due
to
counterparty
$371,768
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
ETF
-
Exchange
Traded
Fund
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
93
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Global
Stock
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
69,188,872
49,608,908
19,579,964
–
Consumer
Discretionary
121,984,452
91,415,929
30,568,523
–
Consumer
Staples
34,331,803
13,464,415
20,867,388
–
Energy
25,290,019
12,111,066
13,178,953
–
Financials
122,122,657
66,167,356
55,955,301
–
Health
Care
149,245,943
97,158,074
52,087,869
–
Industrials
121,217,046
61,494,981
59,722,065
–
Information
Technology
193,034,001
161,123,969
31,910,032
–
Materials
48,275,040
17,155,270
31,119,770
–
Real
Estate
41,509,268
22,016,995
19,492,273
–
Utilities
9,460,210
7,571,243
1,888,967
–
Registered
Investment
Companies
Unaffiliated
25,089,441
25,089,441
–
–
Short-Term
Investments
26,897,347
–
26,897,347
–
Subtotal
Investments
in
Securities
$987,646,099
$624,377,647
$363,268,452
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
140,796,987
Affiliated
Registered
Investment
Companies
29,263,825
Collateral
Held
for
Securities
Loaned
11,485,239
Subtotal
Other
Investments
$181,546,051
Total
Investments
at
Value
$1,169,192,150
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
458,766
458,766
–
–
Total
Asset
Derivatives
$458,766
$458,766
$–
$–
Liability
Derivatives
Futures
Contracts
4,721,022
4,721,022
–
–
Total
Liability
Derivatives
$4,721,022
$4,721,022
$–
$–
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
94
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
The
following
table
presents
Global
Stock
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$26,897,347
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CME
E-mini
Russell
2000
Index
4
December
2020
$
297,909
$
2,971
CME
E-mini
S&P
500
Index
650
December
2020
109,493,417
(
553,417)
CME
E-mini
S&P
Mid-Cap
400
Index
2
December
2020
369,862
1,318
CME
Euro
Foreign
Exchange
Currency
435
December
2020
64,255,055
(
443,274)
Eurex
Euro
STOXX
50
Index
1,748
December
2020
67,880,666
(
2,708,022)
ICE
US
mini
MSCI
Emerging
Markets
Index
1,058
December
2020
58,597,959
(
1,016,309)
Total
Futures
Long
Contracts
$
300,894,868
(
$
4,716,733)
CME
E-mini
Russell
2000
Index
(879)
December
2020
(
$
66,183,792)
$
65,412
ICE
mini
MSCI
EAFE
Index
(222)
December
2020
(
20,959,585)
389,065
Total
Futures
Short
Contracts
(
$
87,143,377)
$454,477
Total
Futures
Contracts
$
213,751,491
($4,262,256)
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Global
Stock
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity*
$–
$28,000
$–
$29,264
2,869
2.5%
Total
Affiliated
Registered
Investment
Companies
–
29,264
2.5
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
181,119
321,311
361,624
140,797
14,080
12.1
Total
Affiliated
Short-Term
Investments
181,119
140,797
12.1
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3,577
65,881
57,973
11,485
11,485
1.0
Total
Collateral
Held
for
Securities
Loaned
3,577
11,485
1.0
Total
Value
$184,696
$181,546
*
Non-income
producing
security.
Global
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
95
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Equity*
$–
$1,264
–
$–
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(99)
90
–
1,235
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1,235
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
29
Total
Affiliated
Income
from
Securities
Loaned,
Net
$29
Total
Value
$(99)
$1,354
$–
*
Non-income
producing
security.
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
96
Principal
Amount
Long-Term
Fixed
Income
(
98.3%
)
Value
Asset-Backed
Securities
(3.2%)
Arkansas
Student
Loan
Authority
$
1,482,899
1.150%,
(LIBOR
3M
+
0.900%),
11/25/2043,
Ser.
2010-1A
a
$
1,472,252
Brazos
Higher
Education
Authority,
Inc.
174,160
1.095%,
(LIBOR
3M
+
0.850%),
7/25/2029,
Ser.
2011-2,
Class
A2
a
174,160
ECMC
Group
Student
Loan
Trust
1,100,000
1.510%,
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
a,b
1,099,999
Goodgreen
1,672,255
3.860%,
10/15/2054,
Ser.
2019-1A,
Class
A
b
1,770,578
Nationstar
HECM
Loan
Trust
1,100,000
1.269%,
9/25/2030,
Ser.
2020-1A,
Class
A1
a,b,c
1,100,000
Navient
Student
Loan
Trust
1,000,000
1.199%,
(LIBOR
1M
+
1.050%),
6/25/2069,
Ser.
2020-1A,
Class
A1B
a,b
1,012,486
SLM
Student
Loan
Trust
526,476
0.548%,
(LIBOR
1M
+
0.400%),
3/25/2025,
Ser.
2010-1,
Class
A
a
502,826
Total
7,132,301
Collateralized
Mortgage
Obligations
(12.0%)
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
1,600,000
3.000%,
10/15/2034,
Ser.
4369,
Class
GV
1,661,247
562,193
2.000%,
1/15/2041,
Ser.
4074,
Class
JA
576,097
2,114,830
1.750%,
6/15/2042,
Ser.
4097,
Class
QN
2,158,672
959,292
1.750%,
12/15/2042,
Ser.
4141,
Class
KM
977,198
949,551
3.000%,
5/15/2045,
Ser.
4631,
Class
PA
1,014,915
1,037,701
3.000%,
3/15/2047,
Ser.
4734,
Class
JA
1,104,470
1,981,759
3.500%,
8/15/2047,
Ser.
4860,
Class
CA
2,079,902
1,739,186
2.000%,
9/25/2049,
Ser.
4906,
Class
KE
1,784,434
Federal
National
Mortgage
Association
-
REMIC
788,585
2.000%,
11/25/2032,
Ser.
2012-123,
Class
BA
824,261
1,529,944
3.000%,
11/25/2037,
Ser.
2013-88,
Class
EA
1,547,678
1,592,184
3.000%,
6/25/2042,
Ser.
2016-24,
Class
LJ
1,658,095
945,361
3.000%,
1/25/2043,
Ser.
2013-114,
Class
AB
976,506
1,104,902
3.250%,
6/25/2043,
Ser.
2013-60,
Class
PT
1,189,961
1,728,481
3.000%,
3/25/2046,
Ser.
2016-66,
Class
PA
1,801,616
692,097
3.000%,
6/25/2046,
Ser.
2017-58,
Class
P
741,038
Principal
Amount
Long-Term
Fixed
Income
(98.3%)
Value
Collateralized
Mortgage
Obligations
(12.0%)
-
continued
$
724,920
3.500%,
12/25/2047,
Ser.
2018-41,
Class
PB
$
761,053
GMAC
Mortgage
Corporation
Loan
Trust
33,178
0.648%,
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
a,d
36,975
IndyMac
Seconds
Asset-Backed
Trust
203,102
0.488%,
(LIBOR
1M
+
0.340%),
10/25/2036,
Ser.
2006-2B,
Class
A
a,d
140,146
Seasoned
Credit
Risk
Transfer
Trust
1,682,612
3.000%,
8/25/2056,
Ser.
2017-2,
Class
HA
d
1,784,881
1,764,541
2.500%,
8/25/2059,
Ser.
2020-1,
Class
MT
d
1,875,356
1,941,058
2.000%,
11/25/2059,
Ser.
2020-2,
Class
MT
d
1,998,260
Wachovia
Asset
Securitization,
Inc.
298,590
0.312%,
(LIBOR
1M
+
0.140%),
7/25/2037,
Ser.
2007-HE1,
Class
A
a,b,d
258,869
Total
26,951,630
Commercial
Mortgage-Backed
Securities
(3.0%)
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
1,496,293
1.238%,
1/25/2035,
Ser.
K-1516,
Class
A1
d
1,489,293
1,271,093
3.000%,
3/15/2045,
Ser.
4741,
Class
GA
1,315,994
Federal
National
Mortgage
Association
-
ACES
863,360
3.560%,
9/25/2021,
Ser.
2018-M5,
Class
A2
a
871,093
1,250,000
2.961%,
2/25/2027,
Ser.
2017-M7,
Class
A2
a
1,397,923
FRESB
Multifamily
Mortgage
Pass-
Through
Trust
1,578,681
2.950%,
8/25/2027,
Ser.
2017-SB40,
Class
A10F
a,d
1,667,592
Total
6,741,895
Energy
(0.1%)
Petroleos
Mexicanos
150,000
2.378%,
4/15/2025
156,259
Total
156,259
Financials
(2.3%)
HSBC
Bank
Canada
750,000
0.950%,
5/14/2023
b
759,164
Nationwide
Building
Society
750,000
1.700%,
2/13/2023
b
771,896
Oesterreichische
Kontrollbank
AG
2,000,000
2.875%,
9/7/2021
2,048,678
Preferred
Term
Securities
XXIII,
Ltd.
42,333
0.450%,
(LIBOR
3M
+
0.200%),
12/22/2036
a,b
34,902
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
97
Principal
Amount
Long-Term
Fixed
Income
(98.3%)
Value
Financials
(2.3%)
-
continued
Santander
UK
plc
$
700,000
1.625%,
2/12/2023
b
$
719,537
Westpac
Banking
Corporation
750,000
2.000%,
1/16/2025
b
793,853
Total
5,128,030
Foreign
Government
(4.8%)
CPPIB
Capital,
Inc.
2,000,000
3.125%,
9/25/2023
b
2,165,545
Development
Bank
of
Japan,
Inc.
750,000
2.125%,
9/1/2022
b
773,876
Export
Development
Canada
2,000,000
2.500%,
1/24/2023
2,103,068
Jordan
Government
International
Bond
500,000
2.503%,
10/30/2020
500,848
Kommunalbanken
AS
2,000,000
2.500%,
1/11/2023
b
2,098,520
Province
of
British
Columbia
Canada
1,550,000
1.750%,
9/27/2024
1,629,813
Province
of
Ontario
Canada
1,000,000
3.400%,
10/17/2023
1,089,661
Province
of
Quebec
400,000
7.500%,
7/15/2023
e
475,799
Total
10,837,130
Mortgage-Backed
Securities
(26.0%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
3,729,398
3.000%,
2/1/2050
3,960,984
2,330,619
3.000%,
3/25/2050
2,443,856
2,518,533
3.000%,
4/1/2050
2,640,902
1,366,725
3.500%,
7/1/2047
1,446,148
Federal
National
Mortgage
Association
2,000,000
3.830%,
10/1/2028
2,293,902
1,155,299
3.500%,
10/1/2048
1,220,682
1,342,546
3.500%,
8/1/2049
1,421,602
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
4,000,000
1.500%,
10/1/2035
f
4,091,563
5,200,000
2.000%,
10/1/2035
f
5,403,125
2,730,000
2.500%,
10/1/2035
f
2,850,291
2,250,000
2.000%,
11/1/2035
f
2,336,999
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
3,100,000
2.000%,
10/1/2050
f
3,204,625
8,900,000
2.500%,
10/1/2050
f,g
9,334,570
6,120,000
2.000%,
11/1/2050
f,g
6,311,428
7,050,000
2.500%,
11/1/2050
f
7,379,022
689
8.000%,
4/1/2030
843
1,782,834
4.000%,
7/1/2048
1,901,535
Total
58,242,077
U.S.
Government
&
Agencies
(46.9%)
Federal
Farm
Credit
Bank
400,000
2.210%,
8/1/2024
429,390
Federal
Home
Loan
Bank
2,500,000
2.500%,
2/13/2024
2,688,576
Principal
Amount
Long-Term
Fixed
Income
(98.3%)
Value
U.S.
Government
&
Agencies
(46.9%)
-
continued
Federal
Home
Loan
Mortgage
Corporation
$
1,000,000
0.250%,
8/24/2023
$
1,000,087
Federal
National
Mortgage
Association
500,000
5.960%,
9/11/2028
694,500
1,000,000
0.875%,
8/5/2030
983,454
Tennessee
Valley
Authority
1,115,000
5.250%,
9/15/2039
1,718,792
U.S.
Treasury
Bonds
25,000
1.375%,
8/15/2050
24,461
1,375,000
2.250%,
11/15/2027
1,545,693
300,000
5.500%,
8/15/2028
415,559
1,500,000
5.250%,
11/15/2028
2,063,262
9,375,000
2.625%,
2/15/2029
10,948,242
7,410,000
1.500%,
2/15/2030
7,992,380
630,000
1.125%,
5/15/2040
620,058
1,115,000
3.000%,
5/15/2042
1,482,166
4,180,000
2.500%,
5/15/2046
5,164,096
4,820,000
2.875%,
5/15/2049
6,453,340
U.S.
Treasury
Bonds,
TIPS
2,100,480
0.500%,
1/15/2028
2,356,230
1,100,009
0.875%,
2/15/2047
1,458,816
U.S.
Treasury
Notes
5,095,000
1.125%,
8/31/2021
5,139,581
7,125,000
1.500%,
9/30/2021
7,220,186
7,000,000
1.125%,
2/28/2022
7,096,797
1,500,000
1.875%,
7/31/2022
1,547,695
225,000
2.000%,
11/30/2022
234,035
5,875,000
1.375%,
2/15/2023
6,045,283
275,000
2.750%,
7/31/2023
295,120
1,050,000
2.500%,
1/31/2024
1,130,883
250,000
2.125%,
7/31/2024
268,301
5,200,000
1.250%,
8/31/2024
5,409,422
6,850,000
2.250%,
11/15/2024
7,417,266
250,000
2.125%,
11/30/2024
269,619
2,950,000
1.375%,
1/31/2025
3,094,504
1,350,000
2.875%,
7/31/2025
1,518,644
2,275,000
2.625%,
1/31/2026
2,552,710
750,000
1.750%,
12/31/2026
812,754
3,750,000
0.500%,
4/30/2027
3,766,553
U.S.
Treasury
Notes,
TIPS
2,978,645
0.125%,
10/15/2024
3,161,086
Total
105,019,541
Total
Long-Term
Fixed
Income
(cost
$210,113,211)
220,208,863
Shares
Collateral
Held
for
Securities
Loaned
(
0.2%
)
Value
369,000
Thrivent
Cash
Management
Trust
369,000
Total
Collateral
Held
for
Securities
Loaned
(cost
$369,000)
369,000
Shares
or
Principal
Amount
Short-Term
Investments
(
19.7%
)
Value
Federal
Agricultural
Mortgage
Corporation
Discount
Notes
10,000,000
0.065%,
10/9/2020
h
9,999,867
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
98
Shares
or
Principal
Amount
Short-Term
Investments
(19.7%)
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
0.070%,
10/14/2020
h,i
$
299,993
400,000
0.070%,
11/18/2020
h,i
399,963
Thrivent
Core
Short-Term
Reserve
Fund
3,349,786
0.310%
33,497,860
Total
Short-Term
Investments
(cost
$44,167,467)
44,197,683
Total
Investments
(cost
$254,649,678)
118.2%
$264,775,546
Other
Assets
and
Liabilities,
Net
(18.2%)
(40,770,492)
Total
Net
Assets
100.0%
$224,005,054
a
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$13,359,225
or
6.0%
of
total
net
assets.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
e
All
or
a
portion
of
the
security
is
on
loan.
f
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
g
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
h
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
i
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Government
Bond
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
356,849
Total
lending
$356,849
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$369,000
Net
amounts
due
to
counterparty
$12,151
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
FNMA
-
Federal
National
Mortgage
Association
HECM
-
Home
Equity
Conversion
Mortgage
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
Ser.
-
Series
TIPS
-
Treasury
Inflation
Protected
Security
Reference
Rate
Index:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
99
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Government
Bond
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Asset-Backed
Securities
7,132,301
–
6,032,301
1,100,000
Collateralized
Mortgage
Obligations
26,951,630
–
26,951,630
–
Commercial
Mortgage-Backed
Securities
6,741,895
–
6,741,895
–
Energy
156,259
–
156,259
–
Financials
5,128,030
–
5,128,030
–
Foreign
Government
10,837,130
–
10,837,130
–
Mortgage-Backed
Securities
58,242,077
–
58,242,077
–
U.S.
Government
&
Agencies
105,019,541
–
105,019,541
–
Short-Term
Investments
10,699,823
–
10,699,823
–
Subtotal
Investments
in
Securities
$230,908,686
$–
$229,808,686
$1,100,000
Other
Investments *
Total
Affiliated
Short-Term
Investments
33,497,860
Collateral
Held
for
Securities
Loaned
369,000
Subtotal
Other
Investments
$33,866,860
Total
Investments
at
Value
$264,775,546
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
7,072
7,072
–
–
Total
Asset
Derivatives
$7,072
$7,072
$–
$–
Liability
Derivatives
Futures
Contracts
277,667
277,667
–
–
Call
Options
Written
25,571
–
–
25,571
Total
Liability
Derivatives
$303,238
$277,667
$–
$25,571
The
following
table
presents
Government
Bond
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$699,956
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
5-Yr.
U.S.
Treasury
Note
62
December
2020
$
7,806,865
$
7,072
CBOT
U.S.
Long
Bond
42
December
2020
7,464,200
(
60,388)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
59
December
2020
13,263,808
(
176,871)
Total
Futures
Long
Contracts
$
28,534,873
(
$
230,187)
CBOT
10-Yr.
U.S.
Treasury
Note
(47)
December
2020
(
$
6,550,497)
(
$
7,472)
CBOT
2-Yr.
U.S.
Treasury
Note
(40)
December
2020
(
8,834,252)
(
4,185)
Ultra
10-Yr.
U.S.
Treasury
Note
(73)
December
2020
(
11,645,546)
(
28,751)
Total
Futures
Short
Contracts
(
$
27,030,295)
($40,408)
Total
Futures
Contracts
$
1,504,578
($270,595)
The
following
table
presents
Government
Bond
Portfolio's
options
contracts
held
as
of
September
30,
2020.
Government
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
100
Counterparty:
MSC
-
Morgan
Stanley
&
Company
Option
_
Description
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(1.75)
$
104.88
October
2020
(1,835,449)
(
$
2,539)
$
4,570
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(3.30)
102.78
November
2020
(3,403,221)
(
23,032)
(
3,438)
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Total
Options
Written
Contracts
($25,571)
$1,132
(*) Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Government
Bond
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$32,356
$78,550
$77,387
$33,498
3,350
14.9%
Total
Affiliated
Short-Term
Investments
32,356
33,498
14.9
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
5,532
5,163
369
369
0.2
Total
Collateral
Held
for
Securities
Loaned
–
369
0.2
Total
Value
$32,356
$33,867
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(51)
$30
–
$276
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$276
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
1
Total
Affiliated
Income
from
Securities
Loaned,
Net
$1
Total
Value
$(51)
$30
$–
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
101
Principal
Amount
Bank
Loans
(
3.4%
)
a
Value
Capital
Goods
(1.0%)
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
$
2,608,043
3.523%,
(LIBOR
3M
+
3.250%),
4/3/2024
b
$
2,443,424
Navistar,
Inc.,
Term
Loan
4,195,455
3.660%,
(LIBOR
1M
+
3.500%),
11/6/2024
b
4,153,500
Vertiv
Group
Corporation,
Term
Loan
2,024,825
3.157%,
(LIBOR
1M
+
3.000%),
3/2/2027
b
1,990,403
Total
8,587,327
Communications
Services
(0.4%)
Windstream
Services,
LLC,
Term
Loan
6,355,000
0.000%,
(PRIME
+
5.000%),
3/30/2021
b,c
3,825,710
Total
3,825,710
Consumer
Cyclical
(0.9%)
Cengage
Learning,
Inc.,
Term
Loan
4,080,083
5.250%,
(LIBOR
3M
+
4.250%),
6/7/2023
b
3,401,035
Golden
Nugget,
LLC,
Term
Loan
1,264,725
3.250%,
(LIBOR
2M
+
2.500%),
10/4/2023
b
1,124,264
Staples,
Inc.,
Term
Loan
3,651,362
5.251%,
(LIBOR
3M
+
5.000%),
4/12/2026
b
3,387,770
Total
7,913,069
Consumer
Non-Cyclical
(1.0%)
Bellring
Brands,
LLC,
Term
Loan
3,494,241
6.000%,
(LIBOR
1M
+
5.000%),
10/21/2024
b
3,495,708
Chobani,
LLC,
Term
Loan
3,042,632
4.500%,
(LIBOR
1M
+
3.500%),
10/10/2023
b
3,004,599
Endo
International
plc,
Term
Loan
1,789,075
5.000%,
(LIBOR
3M
+
4.250%),
4/27/2024
b
1,699,622
Total
8,199,929
Energy
(0.1%)
Chesapeake
Energy
Corporation,
Term
Loan
1,025,000
0.000%,
(LIBOR
1M
+
8.000%),
6/23/2024
b,d,e,f
717,182
Total
717,182
Total
Bank
Loans
(cost
$32,692,119)
29,243,217
Principal
Amount
Long-Term
Fixed
Income
(
91.0%
)
Value
Basic
Materials
(6.4%)
Alcoa,
Inc.
1,605,000
5.125%,
10/1/2024
1,691,269
Big
River
Steel,
LLC
1,540,000
6.625%,
1/31/2029
g
1,557,171
Cleveland-Cliffs,
Inc.
4,255,000
5.750%,
3/1/2025
h
3,957,150
750,000
9.875%,
10/17/2025
g
837,187
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Basic
Materials
(6.4%)
-
continued
First
Quantum
Minerals,
Ltd.
$
4,245,000
7.250%,
4/1/2023
g
$
4,239,694
2,140,000
6.875%,
3/1/2026
g
2,062,425
Freeport-McMoRan,
Inc.
2,610,000
4.125%,
3/1/2028
2,642,625
3,390,000
4.250%,
3/1/2030
3,474,750
Grinding
Media,
Inc.
3,250,000
7.375%,
12/15/2023
g
3,290,625
Krayton
Polymers,
LLC
2,675,000
7.000%,
4/15/2025
g
2,728,500
Mercer
International,
Inc.
1,370,000
7.375%,
1/15/2025
1,387,125
1,565,000
5.500%,
1/15/2026
1,502,400
Methanex
Corporation
1,850,000
4.250%,
12/1/2024
1,854,625
2,560,000
5.125%,
10/15/2027
2,547,200
Midwest
Vanadium,
Pty.
Ltd.
3,197,756
11.500%,
2/15/2018
*,c,i
7,994
Norbord,
Inc.
1,570,000
5.750%,
7/15/2027
g
1,658,391
NOVA
Chemicals
Corporation
1,045,000
5.250%,
8/1/2023
g
1,029,325
Novelis
Corporation
2,240,000
5.875%,
9/30/2026
g
2,301,600
2,090,000
4.750%,
1/30/2030
g
2,039,777
OCI
NV
3,330,000
4.625%,
10/15/2025
e,g
3,330,000
Olin
Corporation
2,650,000
5.625%,
8/1/2029
2,610,224
3,195,000
5.000%,
2/1/2030
3,003,300
Peabody
Securities
Finance
Corporation
3,180,000
6.000%,
3/31/2022
g,h
1,844,400
Tronox
Finance
plc
3,210,000
5.750%,
10/1/2025
g
3,161,850
Total
54,759,607
Capital
Goods
(9.4%)
Abengoa
Abenewco
2
Bis
SA,
Convertible
3,933,448
0.000%,PIK
1.500%,
4/26/2024
*,j
29,501
Advanced
Disposal
Services,
Inc.
3,155,000
5.625%,
11/15/2024
g
3,249,650
Advanced
Drainage
Systems,
Inc.
2,640,000
5.000%,
9/30/2027
g
2,758,800
AECOM
1,065,000
5.875%,
10/15/2024
1,152,751
3,195,000
5.125%,
3/15/2027
3,450,983
Amsted
Industries,
Inc.
2,125,000
5.625%,
7/1/2027
g
2,260,617
2,630,000
4.625%,
5/15/2030
g
2,715,475
Arconic,
Inc.
1,605,000
5.900%,
2/1/2027
1,732,196
ARD
Finance
SA
2,100,000
6.500%,
6/30/2027
g
2,089,080
Ardagh
Packaging
Finance
plc
5,295,000
5.250%,
8/15/2027
g
5,395,605
Berry
Global,
Inc.
1,740,000
4.500%,
2/15/2026
g
1,757,400
Berry
Plastics
Corporation
1,825,000
5.125%,
7/15/2023
1,852,557
Bombardier,
Inc.
2,945,000
7.500%,
3/15/2025
g
2,212,431
2,050,000
7.875%,
4/15/2027
g
1,554,802
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
102
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Capital
Goods
(9.4%)
-
continued
BWAY
Holding
Company
$
3,205,000
7.250%,
4/15/2025
g
$
3,016,706
Clean
Harbors,
Inc.
2,080,000
5.125%,
7/15/2029
g
2,256,530
Cornerstone
Building
Brands,
Inc.
1,535,000
6.125%,
1/15/2029
g
1,550,350
Covanta
Holding
Corporation
1,060,000
6.000%,
1/1/2027
1,102,400
1,030,000
5.000%,
9/1/2030
1,039,579
Crown
Cork
&
Seal
Company,
Inc.
3,210,000
7.375%,
12/15/2026
3,816,305
Flex
Acquisition
Company,
Inc.
3,205,000
6.875%,
1/15/2025
g
3,203,029
1,300,000
7.875%,
7/15/2026
g
1,313,000
GFL
Environmental,
Inc.
1,926,000
7.000%,
6/1/2026
g,h
2,030,389
H&E
Equipment
Services,
Inc.
1,951,000
5.625%,
9/1/2025
2,033,918
Jeld-Wen,
Inc.
1,150,000
6.250%,
5/15/2025
g
1,224,750
2,670,000
4.875%,
12/15/2027
g
2,723,534
New
Enterprise
Stone
&
Lime
Company,
Inc.
2,145,000
6.250%,
3/15/2026
g
2,209,350
Owens-Brockway
Glass
Container,
Inc.
3,070,000
5.875%,
8/15/2023
g
3,223,500
Reynolds
Group
Issuer,
Inc.
2,175,000
5.125%,
7/15/2023
g
2,202,188
TransDigm,
Inc.
4,445,000
6.250%,
3/15/2026
g
4,660,805
U.S.
Concrete,
Inc.
2,560,000
5.125%,
3/1/2029
g
2,566,400
United
Rentals
North
America,
Inc.
4,240,000
5.875%,
9/15/2026
4,467,900
1,790,000
3.875%,
2/15/2031
1,816,850
WESCO
Distribution,
Inc.
1,280,000
7.250%,
6/15/2028
g
1,402,464
Total
80,071,795
Communications
Services
(17.4%)
CCO
Holdings,
LLC
3,450,000
5.375%,
6/1/2029
g
3,738,937
3,940,000
4.750%,
3/1/2030
g
4,171,475
4,695,000
4.500%,
8/15/2030
g
4,929,961
3,000,000
4.250%,
2/1/2031
g
3,107,704
CCOH
Safari,
LLC
5,455,000
5.750%,
2/15/2026
g
5,673,200
Cengage
Learning,
Inc.
1,705,000
9.500%,
6/15/2024
g
1,125,300
CSC
Holdings,
LLC
5,590,000
6.500%,
2/1/2029
g
6,232,850
2,560,000
4.125%,
12/1/2030
g
2,609,280
9,500,000
4.625%,
12/1/2030
g
9,544,935
Cumulus
Media
New
Holdings,
Inc.
2,555,000
6.750%,
7/1/2026
g
2,366,875
Embarq
Corporation
5,325,000
7.995%,
6/1/2036
6,305,120
Entercom
Media
Corporation
3,585,000
6.500%,
5/1/2027
g
3,118,950
Front
Range
BidCo,
Inc.
1,560,000
4.000%,
3/1/2027
g
1,535,391
2,080,000
6.125%,
3/1/2028
g
2,143,669
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Communications
Services
(17.4%)
-
continued
GCI,
LLC
$
3,210,000
4.750%,
10/15/2028
e,g
$
3,250,157
LCPR
Senior
Secured
Financing
DAC
2,500,000
6.750%,
10/15/2027
g
2,612,500
Level
3
Financing,
Inc.
5,510,000
5.375%,
5/1/2025
5,675,989
1,700,000
5.250%,
3/15/2026
1,761,115
Lions
Gate
Capital
Holdings,
LLC
1,530,000
5.875%,
11/1/2024
g
1,503,225
Meredith
Corporation
2,590,000
6.875%,
2/1/2026
2,162,650
Netflix,
Inc.
3,075,000
4.875%,
4/15/2028
3,436,313
Nielsen
Finance,
LLC
1,795,000
5.625%,
10/1/2028
g
1,844,363
Qualitytech,
LP
3,740,000
4.750%,
11/15/2025
g
3,879,128
Scripps
Escrow,
Inc.
2,310,000
5.875%,
7/15/2027
g
2,229,150
SFR
Group
SA
2,650,000
7.375%,
5/1/2026
g
2,776,935
Sinclair
Television
Group,
Inc.
1,570,000
5.875%,
3/15/2026
g
1,546,450
770,000
5.125%,
2/15/2027
g
714,329
Sirius
XM
Radio,
Inc.
2,000,000
4.625%,
7/15/2024
g
2,068,750
2,660,000
5.500%,
7/1/2029
g
2,860,032
5,115,000
4.125%,
7/1/2030
g
5,241,801
Sprint
Capital
Corporation
2,045,000
6.875%,
11/15/2028
2,546,710
1,795,000
8.750%,
3/15/2032
2,627,539
Sprint
Corporation
2,685,000
7.250%,
9/15/2021
2,809,181
2,040,000
7.125%,
6/15/2024
2,347,244
8,240,000
7.625%,
2/15/2025
9,640,800
TEGNA,
Inc.
3,075,000
4.625%,
3/15/2028
g
3,006,735
Terrier
Media
Buyer,
Inc.
1,590,000
8.875%,
12/15/2027
g
1,601,925
United
States
Cellular
Corporation
2,746,000
6.700%,
12/15/2033
3,539,470
Univision
Communications,
Inc.
3,580,000
6.625%,
6/1/2027
g
3,494,975
VeriSign,
Inc.
2,630,000
4.750%,
7/15/2027
2,787,800
VTR
Comunicaciones
SPA
1,020,000
5.125%,
1/15/2028
g
1,054,578
YPSO
Finance
BIS
SA
2,660,000
10.500%,
5/15/2027
g
2,955,925
Ziggo
Bond
Company
BV
1,765,000
5.125%,
2/28/2030
g
1,789,057
Ziggo
BV
3,585,000
5.500%,
1/15/2027
g
3,755,288
3,475,000
4.875%,
1/15/2030
g
3,596,625
Total
147,720,386
Consumer
Cyclical
(15.7%)
1011778
B.C.,
ULC
3,690,000
4.375%,
1/15/2028
g
3,763,062
Allied
Universal
Holdco,
LLC
1,535,000
6.625%,
7/15/2026
g
1,634,775
Allison
Transmission,
Inc.
3,835,000
5.000%,
10/1/2024
g
3,873,580
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
103
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Consumer
Cyclical
(15.7%)
-
continued
Brookfield
Residential
Properties,
Inc.
$
3,440,000
6.250%,
9/15/2027
g
$
3,468,982
Carnival
Corporation
260,000
10.500%,
2/1/2026
g
287,950
Cedar
Fair,
LP
1,600,000
5.250%,
7/15/2029
1,519,008
Colt
Merger
Sub,
Inc.
5,110,000
6.250%,
7/1/2025
g
5,327,175
Dana
Financing
Luxembourg
SARL
3,925,000
6.500%,
6/1/2026
g
4,091,812
Expedia
Group,
Inc.
1,700,000
6.250%,
5/1/2025
g
1,873,332
Ford
Motor
Company
1,000,000
9.625%,
4/22/2030
h
1,291,250
4,095,000
7.450%,
7/16/2031
4,696,187
Ford
Motor
Credit
Company,
LLC
7,165,000
5.125%,
6/16/2025
7,388,906
2,610,000
4.134%,
8/4/2025
2,584,983
Hanesbrands,
Inc.
4,145,000
4.875%,
5/15/2026
g
4,424,787
Herc
Holdings,
Inc.
4,830,000
5.500%,
7/15/2027
g
4,997,359
Hertz
Corporation
1,548,000
7.625%,
6/1/2022
c,g,i
1,424,160
Hilton
Domestic
Operating
Company,
Inc.
2,050,000
4.875%,
1/15/2030
2,111,500
Hilton
Escrow
Issuer,
LLC
2,090,000
4.250%,
9/1/2024
2,095,225
International
Game
Technology
plc
1,600,000
6.250%,
1/15/2027
g
1,714,048
575,000
5.250%,
1/15/2029
g
581,469
KAR
Auction
Services,
Inc.
2,670,000
5.125%,
6/1/2025
g
2,669,947
KB
Home
2,130,000
6.875%,
6/15/2027
2,513,400
2,110,000
4.800%,
11/15/2029
2,326,275
L
Brands,
Inc.
1,280,000
6.875%,
7/1/2025
g
1,382,400
1,795,000
6.625%,
10/1/2030
g
1,826,412
Landry's,
Inc.
1,460,000
6.750%,
10/15/2024
g
1,219,100
Lennar
Corporation
1,525,000
4.500%,
4/30/2024
1,635,562
1,590,000
4.750%,
5/30/2025
1,735,298
3,165,000
4.750%,
11/29/2027
3,613,639
Levi
Strauss
&
Company
2,000,000
5.000%,
5/1/2025
2,046,250
Mattamy
Group
Corporation
3,685,000
5.250%,
12/15/2027
g
3,786,337
1,300,000
4.625%,
3/1/2030
g
1,316,380
New
Red
Finance,
Inc.
2,410,000
5.000%,
10/15/2025
g
2,471,118
2,300,000
4.000%,
10/15/2030
e,g
2,317,733
PGT
Escrow
Issuer,
Inc.
3,195,000
6.750%,
8/1/2026
g
3,402,675
Prime
Security
Services
Borrower,
LLC
4,770,000
5.750%,
4/15/2026
g
5,100,943
3,905,000
3.375%,
8/31/2027
g
3,753,681
1,050,000
6.250%,
1/15/2028
g
1,063,125
Royal
Caribbean
Cruises,
Ltd.
1,025,000
9.125%,
6/15/2023
g
1,086,500
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Consumer
Cyclical
(15.7%)
-
continued
Scientific
Games
International,
Inc.
$
2,650,000
5.000%,
10/15/2025
g
$
2,666,563
2,300,000
7.250%,
11/15/2029
g
2,334,500
SeaWorld
Parks
and
Entertainment,
Inc.
2,050,000
9.500%,
8/1/2025
g
2,116,584
Service
Corporation
International
1,030,000
3.375%,
8/15/2030
1,031,288
Service
Properties
Trust
3,075,000
7.500%,
9/15/2025
3,270,624
ServiceMaster
Company,
LLC
2,560,000
5.125%,
11/15/2024
g
2,617,600
Six
Flags
Entertainment
Corporation
1,535,000
4.875%,
7/31/2024
g
1,443,975
Six
Flags
Theme
Parks,
Inc.
1,000,000
7.000%,
7/1/2025
g
1,063,750
Staples,
Inc.
1,855,000
7.500%,
4/15/2026
g
1,709,308
Stars
Group
Holdings
BV
2,550,000
7.000%,
7/15/2026
g,h
2,709,375
Uber
Technologies,
Inc.
1,540,000
6.250%,
1/15/2028
g
1,580,425
Wyndham
Destinations,
Inc.
1,790,000
6.625%,
7/31/2026
g
1,875,222
Wyndham
Hotels
&
Resorts,
Inc.
1,540,000
4.375%,
8/15/2028
g
1,493,800
Yum!
Brands,
Inc.
2,090,000
5.250%,
6/1/2026
g
2,171,510
720,000
4.750%,
1/15/2030
g
775,800
Total
133,276,649
Consumer
Non-Cyclical
(14.2%)
Air
Medical
Merger
Sub
Corporation
3,190,000
6.375%,
5/15/2023
g
3,190,000
Albertson's
Companies,
Inc.
1,540,000
7.500%,
3/15/2026
g
1,689,442
1,930,000
4.625%,
1/15/2027
g
1,974,757
4,410,000
5.875%,
2/15/2028
g
4,707,675
4,400,000
3.500%,
3/15/2029
g
4,270,750
Bausch
Health
Companies,
Inc.
3,415,000
5.000%,
1/30/2028
g
3,316,819
2,125,000
7.250%,
5/30/2029
g
2,287,031
625,000
5.250%,
1/30/2030
g
615,787
Centene
Corporation
2,130,000
5.375%,
6/1/2026
g
2,248,151
1,150,000
4.250%,
12/15/2027
1,203,394
1,795,000
4.625%,
12/15/2029
1,936,195
2,310,000
3.375%,
2/15/2030
2,396,625
Cooke
Omega
Investments,
Inc.
2,555,000
8.500%,
12/15/2022
g
2,638,037
DaVita,
Inc.
4,090,000
4.625%,
6/1/2030
g
4,197,976
2,050,000
3.750%,
2/15/2031
g
1,975,278
Dole
Food
Company,
Inc.
3,064,000
7.250%,
6/15/2025
g
3,048,680
Edgewell
Personal
Care
Company
1,540,000
5.500%,
6/1/2028
g
1,620,434
Encompass
Health
Corporation
3,415,000
4.500%,
2/1/2028
3,432,075
Energizer
Holdings,
Inc.
3,690,000
4.750%,
6/15/2028
g
3,818,781
HCA,
Inc.
3,705,000
5.375%,
2/1/2025
4,056,975
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
104
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Consumer
Non-Cyclical
(14.2%)
-
continued
$
2,130,000
5.875%,
2/1/2029
$
2,481,450
Herbalife
Nutrition,
Ltd.
3,580,000
7.875%,
9/1/2025
g
3,844,025
Illumina,
Inc.
2,565,000
9.000%,
7/1/2028
g
2,750,963
JBS
Investments
II
GmbH
2,560,000
5.750%,
1/15/2028
g
2,662,400
JBS
USA,
LLC
3,100,000
5.500%,
1/15/2030
g
3,379,000
Kraft
Heinz
Foods
Company
2,880,000
3.875%,
5/15/2027
g
3,067,776
2,610,000
3.750%,
4/1/2030
g
2,755,190
2,560,000
4.875%,
10/1/2049
g
2,696,216
Mattel,
Inc.
2,085,000
5.875%,
12/15/2027
g
2,243,981
Molina
Healthcare,
Inc.
1,430,000
4.375%,
6/15/2028
g
1,459,315
MPH
Acquisition
Holdings,
LLC
4,190,000
7.125%,
6/1/2024
g,h
4,305,225
Ortho-Clinical
Diagnostics,
Inc.
2,620,000
7.250%,
2/1/2028
g
2,724,800
Par
Pharmaceutical,
Inc.
2,650,000
7.500%,
4/1/2027
g
2,776,352
Pilgrim's
Pride
Corporation
3,215,000
5.750%,
3/15/2025
g
3,275,281
Simmons
Foods,
Inc.
1,855,000
5.750%,
11/1/2024
g
1,856,929
Spectrum
Brands,
Inc.
3,500,000
5.750%,
7/15/2025
3,608,500
930,000
5.000%,
10/1/2029
g
964,875
770,000
5.500%,
7/15/2030
g
812,350
Tenet
Healthcare
Corporation
7,930,000
4.875%,
1/1/2026
g
8,048,950
4,240,000
5.125%,
11/1/2027
g
4,361,264
Teva
Pharmaceutical
Finance
Netherlands
III
BV
2,945,000
3.150%,
10/1/2026
2,598,963
VRX
Escrow
Corporation
3,225,000
6.125%,
4/15/2025
g
3,301,594
Total
120,600,261
Energy
(9.7%)
Antero
Resources
Corporation
1,660,000
5.625%,
6/1/2023
h
1,203,500
Apache
Corporation
390,000
4.625%,
11/15/2025
371,719
1,535,000
4.375%,
10/15/2028
h
1,404,525
2,300,000
5.100%,
9/1/2040
2,067,470
Boardwalk
Pipelines,
LP
3,177,000
5.950%,
6/1/2026
3,698,067
Buckeye
Partners,
LP
4,265,000
4.125%,
12/1/2027
4,041,087
1,570,000
4.500%,
3/1/2028
g
1,513,087
California
Resources
Corporation
4,790,000
8.000%,
12/15/2022
*,c,i
59,875
Cenovus
Energy,
Inc.
1,280,000
5.375%,
7/15/2025
1,231,678
Centennial
Resource
Production,
LLC
4,020,000
5.375%,
1/15/2026
g
1,608,000
Cheniere
Energy
Partners,
LP
2,705,000
5.625%,
10/1/2026
2,813,200
5,785,000
4.500%,
10/1/2029
5,932,517
Comstock
Resources,
Inc.
1,540,000
9.750%,
8/15/2026
1,578,808
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Energy
(9.7%)
-
continued
CrownRock
Finance,
Inc.
$
1,790,000
5.625%,
10/15/2025
g
$
1,687,075
Enagas
SA
4,285,000
5.500%,
1/15/2028
g
3,856,500
Endeavor
Energy
Resources,
LP
1,020,000
6.625%,
7/15/2025
g
1,048,050
1,020,000
5.750%,
1/30/2028
g
1,025,100
EnLink
Midstream
Partners,
LP
2,805,000
5.600%,
4/1/2044
1,802,213
EQM
Midstream
Partners
LP
1,790,000
6.000%,
7/1/2025
g
1,845,937
EQM
Midstream
Partners,
LP
3,675,000
4.125%,
12/1/2026
3,492,610
Harvest
Midstream,
LP
2,150,000
7.500%,
9/1/2028
g
2,139,250
MEG
Energy
Corporation
1,280,000
6.500%,
1/15/2025
g
1,255,578
Murphy
Oil
Corporation
1,535,000
5.875%,
12/1/2027
1,310,951
Nabors
Industries,
Ltd.
2,300,000
7.250%,
1/15/2026
g
1,132,750
Noble
Holding
International,
Ltd.
3,210,000
7.750%,
1/15/2024
c,i
16,050
NuStar
Logistics,
LP
515,000
5.750%,
10/1/2025
531,892
770,000
6.375%,
10/1/2030
798,875
Occidental
Petroleum
Corporation
823,000
2.700%,
8/15/2022
768,987
1,790,000
2.700%,
2/15/2023
1,637,850
1,550,000
2.900%,
8/15/2024
1,315,067
1,150,000
3.500%,
6/15/2025
954,500
2,045,000
8.000%,
7/15/2025
h
2,057,740
2,045,000
8.875%,
7/15/2030
2,106,350
2,555,000
4.300%,
8/15/2039
1,771,024
1,000,000
4.625%,
6/15/2045
722,620
2,555,000
4.400%,
4/15/2046
1,822,903
Pacific
Drilling
First
Lien
Escrow
Issuer,
Ltd.
2,115,000
8.375%,
10/1/2023
g
338,400
Pacific
Drilling
Second
Lien
Escrow
Issuer,
Ltd.
596,442
0.000%,PIK
12.000%,
4/1/2024
g,j
5,964
Parsley
Energy,
LLC
3,200,000
5.625%,
10/15/2027
g
3,184,000
Precision
Drilling
Corporation
1,180,000
7.750%,
12/15/2023
896,800
Sanchez
Energy
Corporation
3,740,000
0.000%,
2/15/2023
c,i,k
4
Southwestern
Energy
Company
2,145,000
7.500%,
4/1/2026
h
2,096,738
Sunoco,
LP
1,565,000
4.875%,
1/15/2023
1,572,825
1,090,000
5.500%,
2/15/2026
1,088,638
Targa
Resources
Partners,
LP
1,060,000
5.125%,
2/1/2025
1,057,350
1,075,000
5.000%,
1/15/2028
1,048,125
2,560,000
4.875%,
2/1/2031
g
2,479,168
Transocean
Pontus,
Ltd.
417,300
6.125%,
8/1/2025
g
373,484
Transocean,
Inc.
3,037,000
11.500%,
1/30/2027
g
1,214,800
Valaris
plc
3,745,000
4.750%,
1/15/2024
c,i
267,224
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
105
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Energy
(9.7%)
-
continued
W&T
Offshore,
Inc.
$
1,790,000
9.750%,
11/1/2023
g
$
1,232,701
WPX
Energy,
Inc.
930,000
5.250%,
10/15/2027
943,950
2,430,000
4.500%,
1/15/2030
2,399,625
Total
82,823,201
Financials
(7.9%)
Ally
Financial,
Inc.
4,000,000
5.750%,
11/20/2025
4,490,313
CIT
Group,
Inc.
1,429,000
5.000%,
8/15/2022
1,473,656
1,251,000
5.000%,
8/1/2023
1,297,912
Credit
Acceptance
Corporation
1,580,000
5.125%,
12/31/2024
g
1,568,987
2,020,000
6.625%,
3/15/2026
2,085,650
Drawbridge
Special
Opportunities
Fund,
LP
3,785,000
5.000%,
8/1/2021
g
3,831,955
ESH
Hospitality,
Inc.
2,560,000
4.625%,
10/1/2027
g
2,512,051
Global
Aircraft
Leasing
Company,
Ltd.
2,652,800
0.000%,PIK
7.250%,
9/15/2024
g,j
1,478,936
Icahn
Enterprises,
LP
2,650,000
4.750%,
9/15/2024
2,683,125
2,520,000
6.250%,
5/15/2026
2,627,100
3,155,000
5.250%,
5/15/2027
3,286,879
MGM
Growth
Properties
Operating
Partnership,
LP
2,350,000
5.750%,
2/1/2027
2,532,125
MPT
Operating
Partnership,
LP
890,000
5.500%,
5/1/2024
901,125
2,100,000
5.250%,
8/1/2026
2,163,000
1,340,000
5.000%,
10/15/2027
1,397,218
2,650,000
4.625%,
8/1/2029
2,757,245
Park
Aerospace
Holdings,
Ltd.
4,285,000
4.500%,
3/15/2023
g
4,250,879
Quicken
Loans,
Inc.
4,015,000
5.750%,
5/1/2025
g
4,133,443
Royal
Bank
of
Scotland
Group
plc
3,100,000
5.125%,
5/28/2024
3,403,073
Service
Properties
Trust
1,025,000
4.500%,
6/15/2023
1,005,586
Springleaf
Finance
Corporation
835,000
6.125%,
3/15/2024
874,663
730,000
6.875%,
3/15/2025
810,063
780,000
7.125%,
3/15/2026
871,416
2,090,000
6.625%,
1/15/2028
2,319,482
Synchrony
Financial
4,280,000
3.950%,
12/1/2027
4,603,505
Trivium
Packaging
Finance
1,060,000
5.500%,
8/15/2026
g
1,097,604
530,000
8.500%,
8/15/2027
g
571,459
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
1,050,000
4.250%,
12/1/2026
g
1,054,883
2,090,000
3.750%,
2/15/2027
g
2,055,055
1,050,000
4.625%,
12/1/2029
g
1,072,507
2,090,000
4.125%,
8/15/2030
g
2,058,650
Total
67,269,545
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Technology
(5.1%)
Black
Knight
InfoServ,
LLC
$
770,000
3.625%,
9/1/2028
g
$
778,181
CDW,
LLC
500,000
4.125%,
5/1/2025
514,670
CommScope
Technologies
Finance,
LLC
1,951,000
6.000%,
6/15/2025
g
1,977,436
CommScope,
Inc.
2,615,000
5.500%,
3/1/2024
g
2,687,096
1,530,000
7.125%,
7/1/2028
g
1,572,075
Diamond
Finance
Corporation
4,795,000
7.125%,
6/15/2024
g
4,988,238
Diamond
Sports
Group,
LLC
2,390,000
5.375%,
8/15/2026
g
1,690,925
4,470,000
6.625%,
8/15/2027
g
2,324,400
Iron
Mountain,
Inc.
3,745,000
5.250%,
3/15/2028
g
3,899,481
640,000
5.000%,
7/15/2028
g
655,987
1,020,000
5.250%,
7/15/2030
g
1,063,350
NCR
Corporation
2,090,000
8.125%,
4/15/2025
g
2,309,972
4,240,000
5.750%,
9/1/2027
g
4,432,878
Plantronics,
Inc.
2,390,000
5.500%,
5/31/2023
g
2,127,100
Presidio
Holdings,
Inc.
520,000
8.250%,
2/1/2028
g
544,700
PTC,
Inc.
390,000
3.625%,
2/15/2025
g
395,850
1,045,000
4.000%,
2/15/2028
g
1,074,077
Qorvo,
Inc.
2,615,000
4.375%,
10/15/2029
2,778,438
510,000
3.375%,
4/1/2031
g
518,734
Seagate
HDD
Cayman
1,201,000
4.091%,
6/1/2029
g
1,298,058
SS&C
Technologies,
Inc.
3,200,000
5.500%,
9/30/2027
g
3,400,704
Switch,
Ltd.
2,690,000
3.750%,
9/15/2028
g
2,716,900
Total
43,749,250
Transportation
(1.9%)
AerCap
Holdings
NV
2,640,000
5.875%,
10/10/2079
b
2,024,379
Delta
Air
Lines,
Inc.
2,810,000
7.000%,
5/1/2025
g
3,084,874
1,540,000
4.750%,
10/20/2028
g
1,597,750
Mileage
Plus
Holdings,
LLC
1,660,000
6.500%,
6/20/2027
g
1,728,475
Spirit
Loyalty
Cayman,
Ltd.
750,000
8.000%,
9/20/2025
g
794,640
XPO
Logistics,
Inc.
2,670,000
6.125%,
9/1/2023
g
2,725,202
2,130,000
6.750%,
8/15/2024
g
2,256,096
1,800,000
6.250%,
5/1/2025
g
1,917,000
Total
16,128,416
Utilities
(3.3%)
Calpine
Corporation
4,305,000
4.500%,
2/15/2028
g
4,408,923
DCP
Midstream
Operating,
LP
1,315,000
8.125%,
8/16/2030
1,486,594
GFL
Environmental,
Inc.
636,000
8.500%,
5/1/2027
g
690,060
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
106
Principal
Amount
Long-Term
Fixed
Income
(91.0%)
Value
Utilities
(3.3%)
-
continued
NextEra
Energy
Operating
Partners,
LP
$
5,290,000
3.875%,
10/15/2026
g
$
5,475,150
NRG
Energy,
Inc.
1,680,000
7.250%,
5/15/2026
1,787,974
1,330,000
5.250%,
6/15/2029
g
1,446,375
PG&E
Corporation
770,000
5.000%,
7/1/2028
746,900
Suburban
Propane
Partners,
LP
3,195,000
5.875%,
3/1/2027
3,270,881
Talen
Energy
Supply,
LLC
2,140,000
6.500%,
6/1/2025
1,399,036
1,590,000
7.250%,
5/15/2027
g
1,584,626
Terraform
Global
Operating,
LLC
2,660,000
6.125%,
3/1/2026
g
2,706,550
TerraForm
Power
Operating,
LLC
2,940,000
5.000%,
1/31/2028
g
3,218,344
Total
28,221,413
Total
Long-Term
Fixed
Income
(cost
$781,654,551)
774,620,523
Shares
Collateral
Held
for
Securities
Loaned
(
1.7%
)
Value
14,466,480
Thrivent
Cash
Management
Trust
14,466,480
Total
Collateral
Held
for
Securities
Loaned
(cost
$14,466,480)
14,466,480
Shares
Preferred
Stock
(
0.8%
)
Value
Financials
(0.8%)
92,627
Bank
of
America
Corporation,
5.000%
h,l
2,430,532
520
Bank
of
America
Corporation,
Convertible,
7.250%
l
773,760
60,760
J.P.
Morgan
Chase
&
Company,
4.750%
l
1,607,710
1,524
Wells
Fargo
&
Company,
Convertible,
7.500%
l
2,045,284
Total
6,857,286
Total
Preferred
Stock
(cost
$6,363,091)
6,857,286
Shares
Common
Stock
(
0.1%
)
Value
Communications
Services
(0.1%)
79,027
Windstream
Services,
LLC
Rights
k,m
749,966
Total
749,966
Energy
(<0.1%)
1,094
Vantage
Drilling
International
m
1,368
Total
1,368
Total
Common
Stock
(cost
$762,034)
751,334
Shares
or
Principal
Amount
Short-Term
Investments
(
4.7%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
3,938,935
0.310%
39,389,354
Shares
or
Principal
Amount
Short-Term
Investments
(4.7%)
Value
U.S.
Treasury
Bills
800,000
0.103%,
11/19/2020
n,o
$
799,902
100,000
0.085%,
12/3/2020
n,o
99,983
Total
Short-Term
Investments
(cost
$40,267,427)
40,289,239
Total
Investments
(cost
$876,205,702)
101.7%
$866,228,079
Other
Assets
and
Liabilities,
Net
(1.7%)
(14,678,786)
Total
Net
Assets
100.0%
$851,549,293
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
In
bankruptcy. Interest
is
not
being
accrued.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
f
In
bankruptcy. Interest
is
being
accrued
per
the
bankruptcy
agreement
terms.
g
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$507,758,053
or
59.6%
of
total
net
assets.
h
All
or
a
portion
of
the
security
is
on
loan.
i
Defaulted
security. Interest
is
not
being
accrued.
j
Denotes
payment-in-kind
security. The
security
may
pay
an
interest
or
dividend
payment
with
additional
fixed
income
or
equity
securities
in
lieu
of,
or
in
addition
to
a
cash
payment. The
cash
rate
and/or
payment-in-kind
rate
shown
are
as
of
September
30,
2020.
k
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
l
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
m
Non-income
producing
security.
n
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
o
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
High
Yield
Portfolio
as
of
September
30,
2020
was
$97,370
or
0.0%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
107
Security
Acquisition
Date
Cost
Abengoa
Abenewco
2
Bis
SA,
Convertible,
4/26/2024
4/26/2019
$
533,509
California
Resources
Corporation,
12/15/2022
2/21/2017
4,452,601
Midwest
Vanadium,
Pty.
Ltd.,
2/15/2018
2/9/2011
3,028,997
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
High
Yield
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
13,235,568
Common
Stock
406,720
Total
lending
$13,642,288
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$14,466,480
Net
amounts
due
to
counterparty
$824,192
Definitions:
PIK
-
Payment-In-Kind
Reference
Rate
Index:
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
High
Yield
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Capital
Goods
8,587,327
–
8,587,327
–
Communications
Services
3,825,710
–
3,825,710
–
Consumer
Cyclical
7,913,069
–
7,913,069
–
Consumer
Non-Cyclical
8,199,929
–
8,199,929
–
Energy
717,182
–
717,182
–
Long-Term
Fixed
Income
Basic
Materials
54,759,607
–
54,759,607
–
Capital
Goods
80,071,795
–
80,071,795
–
Communications
Services
147,720,386
–
147,720,386
–
Consumer
Cyclical
133,276,649
–
133,276,649
–
Consumer
Non-Cyclical
120,600,261
–
120,600,261
–
Energy
82,823,201
–
82,823,197
4
Financials
67,269,545
–
67,269,545
–
Technology
43,749,250
–
43,749,250
–
Transportation
16,128,416
–
16,128,416
–
Utilities
28,221,413
–
28,221,413
–
Preferred
Stock
Financials
6,857,286
6,857,286
–
–
Common
Stock
Communications
Services
749,966
–
–
749,966
Energy
1,368
1,368
–
–
Short-Term
Investments
899,885
–
899,885
–
Subtotal
Investments
in
Securities
$812,372,245
$6,858,654
$804,763,621
$749,970
Other
Investments *
Total
Affiliated
Short-Term
Investments
39,389,354
Collateral
Held
for
Securities
Loaned
14,466,480
Subtotal
Other
Investments
$53,855,834
Total
Investments
at
Value
$866,228,079
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
108
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Credit
Default
Swaps
6,863
–
6,863
–
Total
Liability
Derivatives
$6,863
$–
$6,863
$–
The
following
table
presents
High
Yield
Portfolio's
swaps
contracts
held
as
of
September
30,
2020.
Investments
totaling
$899,885
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
35,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2025
$
10,300,000
$
–
(
$
6,863)
(
$
6,863)
Total
Credit
Default
Swaps
$–
($6,863)
($6,863)
1
As
the
buyer
of
protection,
High
Yield
Portfolio
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
High
Yield
Portfolio
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
High
Yield
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
High
Yield
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$28,490
$197,405
$186,460
$39,389
3,939
4.6%
Total
Affiliated
Short-Term
Investments
28,490
39,389
4.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
16,377
104,709
106,620
14,466
14,466
1.7
Total
Collateral
Held
for
Securities
Loaned
16,377
14,466
1.7
Total
Value
$44,867
$53,855
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(68)
$22
–
$259
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$259
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
120
Total
Affiliated
Income
from
Securities
Loaned,
Net
$120
High
Yield
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
109
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Total
Value
$(68)
$22
$–
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
110
Principal
Amount
Bank
Loans
(
0.6%
)
a
Value
Basic
Materials
(<0.1%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
97,750
4.756%,
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
93,742
Total
93,742
Capital
Goods
(0.1%)
Advanced
Disposal
Services,
Inc.,
Term
Loan
426,389
3.000%,
(LIBOR
1W
+
2.250%),
11/10/2023
b
425,323
GFL
Environmental,
Inc.,
Term
Loan
531,437
4.000%,
(LIBOR
3M
+
3.000%),
5/31/2025
b
528,514
Total
953,837
Communications
Services
(0.2%)
Altice
France
SA,
Term
Loan
193,500
2.897%,
(LIBOR
1M
+
2.750%),
7/31/2025
b
184,297
Coral-US
Co-Borrower,
LLC,
Term
Loan
420,000
2.397%,
(LIBOR
1M
+
2.250%),
1/31/2028
b
405,729
GCI,
LLC,
Term
Loan
750,000
0.000%,
(LIBOR
1M
+
2.750%),
9/24/2025
b,c,d,e
744,375
HCP
Acquisition,
LLC,
Term
Loan
349,029
4.000%,
(LIBOR
1M
+
3.000%),
5/16/2024
b
346,485
Radiate
Holdco,
LLC,
Term
Loan
620,000
0.000%,
(LIBOR
1M
+
3.500%),
9/11/2026
b,c,d
608,375
TNS,
Inc.,
Term
Loan
344,900
4.150%,
(LIBOR
1M
+
4.000%),
8/14/2022
b
341,882
Virgin
Media
Bristol,
LLC,
Term
Loan
490,000
2.652%,
(LIBOR
1M
+
2.500%),
1/31/2028
b
474,893
WideOpenWest
Finance,
LLC,
Term
Loan
125,464
4.250%,
(LIBOR
1M
+
3.250%),
8/19/2023
b
123,366
Windstream
Services,
LLC,
Term
Loan
248,097
0.000%,
(PRIME
+
5.000%),
3/30/2021
b,f
149,354
Total
3,378,756
Consumer
Cyclical
(0.1%)
Golden
Entertainment,
Inc.,
Term
Loan
593,475
3.750%,
(LIBOR
1M
+
3.000%),
10/20/2024
b
567,510
LCPR
Loan
Financing,
LLC,
Term
Loan
465,000
5.152%,
(LIBOR
1M
+
5.000%),
10/15/2026
b
464,033
Scientific
Games
International,
Inc.,
Term
Loan
877,500
3.471%,
(LIBOR
1M
+
2.750%),
8/14/2024
b
823,630
Principal
Amount
Bank
Loans
(0.6%)
a
Value
Consumer
Cyclical
(0.1%)
-
continued
Stars
Group
Holdings
BV,
Term
Loan
$
101,983
3.720%,
(LIBOR
3M
+
3.500%),
7/10/2025
b
$
101,637
Total
1,956,810
Consumer
Non-Cyclical
(0.1%)
Bausch
Health
Americas,
Inc.,
Term
Loan
308,249
3.151%,
(LIBOR
1M
+
3.000%),
6/1/2025
b
301,764
Endo
International
plc,
Term
Loan
210,514
5.000%,
(LIBOR
3M
+
4.250%),
4/27/2024
b
199,988
Global
Medical
Response,
Inc.,
Term
Loan
500,941
4.250%,
(LIBOR
3M
+
3.250%),
4/28/2022
b
499,142
189,637
5.250%,
(LIBOR
3M
+
4.250%),
3/14/2025
b
183,317
555,000
0.000%,
(LIBOR
1M
+
4.750%),
9/24/2025
b,c,d
541,991
JBS
USA
LUX
SA,
Term
Loan
252,437
2.147%,
(LIBOR
1M
+
2.000%),
5/1/2026
b
245,243
MPH
Acquisition
Holdings,
LLC,
Term
Loan
405,308
3.750%,
(LIBOR
3M
+
2.750%),
6/7/2023
b
398,361
Sotera
Health
Holdings,
LLC,
Term
Loan
139,300
5.500%,
(LIBOR
3M
+
4.500%),
12/13/2026
b
138,603
Total
2,508,409
Financials
(<0.1%)
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
164,850
2.500%,
(LIBOR
1M
+
1.750%),
1/15/2025
b
160,019
BPR
Nimbus,
LLC,
Term
Loan
187,667
2.647%,
(LIBOR
1M
+
2.500%),
8/24/2025
b
151,609
Tronox
Finance,
LLC,
Term
Loan
611,332
3.177%,
(LIBOR
3M
+
3.000%),
9/22/2024
b
600,853
Vericast
Corporation,
Term
Loan
48,480
5.750%,
(LIBOR
3M
+
4.750%),
11/3/2023
b,c,d
39,505
Total
951,986
Technology
(0.1%)
Prime
Security
Services
Borrower,
LLC,
Term
Loan
490,050
4.250%,
(LIBOR
1M
+
3.250%),
9/23/2026
b
485,061
Rackspace
Technology
Global,
Inc.,
Term
Loan
527,591
4.000%,
(LIBOR
3M
+
3.000%),
11/3/2023
b
516,976
Total
1,002,037
Total
Bank
Loans
(cost
$11,171,610)
10,845,577
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
111
Principal
Amount
Long-Term
Fixed
Income
(
94.7%
)
Value
Asset-Backed
Securities
(2.0%)
522
Funding
CLO,
Ltd.
$
3,200,000
4.098%,
(LIBOR
3M
+
3.850%),
10/23/2033,
Ser.
2020-6A,
Class
D
b,d,g
$
3,200,000
Goldentree
Loan
Management,
Ltd.
2,100,000
2.308%,
(LIBOR
3M
+
1.900%),
4/20/2031,
Ser.
2020-7A,
Class
A
b,g
2,108,184
Magnetite
XII,
Ltd.
3,200,000
1.375%,
(LIBOR
3M
+
1.100%),
10/15/2031,
Ser.
2015-12A,
Class
ARR
b,g
3,165,120
Neuberger
Berman
CLO
XIV,
Ltd.
3,200,000
1.277%,
(LIBOR
3M
+
1.030%),
1/28/2030,
Ser.
2013-14A,
Class
AR2
b,g
3,168,026
Octagon
Credit
Partners
46,
Ltd.
3,200,000
2.449%,
(LIBOR
3M
+
2.200%),
7/15/2033,
Ser.
2020-2A,
Class
B
b,g
3,206,246
Octagon
Investment
Partners
31,
LLC
2,000,000
3.972%,
(LIBOR
3M
+
3.700%),
7/20/2030,
Ser.
2017-1A,
Class
D
b,g
1,915,154
Octagon
Investment
Partners
XVI,
Ltd.
2,600,000
1.673%,
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2013-1A,
Class
A2R
b,g
2,553,125
Palmer
Square
CLO,
Ltd.
3,200,000
2.295%,
(LIBOR
3M
+
2.000%),
4/20/2029,
Ser.
2020-1A,
Class
A1
b,g
3,210,678
Palmer
Square
Loan
Funding,
Ltd.
4,700,000
2.548%,
(LIBOR
3M
+
2.300%),
11/25/2028,
Ser.
2020-4A,
Class
B
b,d,g
4,700,000
Shackleton
CLO,
Ltd.
2,150,000
1.445%,
(LIBOR
3M
+
1.170%),
7/15/2031,
Ser.
2015-7RA,
Class
A1
b,g
2,113,398
Sound
Point
CLO
X,
Ltd.
3,200,000
2.972%,
(LIBOR
3M
+
2.700%),
1/20/2028,
Ser.
2015-3A,
Class
DR
b,g
3,060,154
THL
Credit
Wind
River
CLO,
Ltd.
4,325,000
3.125%,
(LIBOR
3M
+
2.850%),
7/15/2028,
Ser.
2016-1A,
Class
DR
b,g
4,074,526
Total
36,474,611
Basic
Materials
(2.9%)
Alcoa
Nederland
Holding
BV
240,000
5.500%,
12/15/2027
g
250,128
Alcoa,
Inc.
640,000
5.125%,
10/1/2024
674,400
Anglo
American
Capital
plc
3,200,000
3.625%,
9/11/2024
g
3,440,187
2,550,000
4.750%,
4/10/2027
g
2,928,535
Cleveland-Cliffs,
Inc.
440,000
5.750%,
3/1/2025
h
409,200
85,000
9.875%,
10/17/2025
g
94,881
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Basic
Materials
(2.9%)
-
continued
Freeport-McMoRan,
Inc.
$
320,000
4.125%,
3/1/2028
$
324,000
Glencore
Funding,
LLC
3,180,000
4.125%,
5/30/2023
g
3,409,246
2,880,000
4.000%,
3/27/2027
g
3,143,485
3,200,000
2.500%,
9/1/2030
g
3,110,394
Kinross
Gold
Corporation
640,000
5.950%,
3/15/2024
729,810
3,980,000
4.500%,
7/15/2027
4,511,954
LyondellBasell
Industries
NV
1,900,000
6.000%,
11/15/2021
1,988,259
Methanex
Corporation
390,000
5.250%,
12/15/2029
385,613
Mosaic
Company
3,100,000
4.875%,
11/15/2041
3,246,268
Novelis
Corporation
640,000
5.875%,
9/30/2026
g
657,600
OCI
NV
320,000
4.625%,
10/15/2025
d,g
320,000
Steel
Dynamics,
Inc.
1,900,000
3.250%,
1/15/2031
2,031,590
Syngenta
Finance
NV
3,175,000
4.441%,
4/24/2023
g
3,353,038
3,100,000
5.182%,
4/24/2028
g
3,412,009
Teck
Resources,
Ltd.
3,270,000
6.125%,
10/1/2035
3,905,667
Tronox
Finance
plc
640,000
5.750%,
10/1/2025
g
630,400
Vale
Overseas,
Ltd.
1,920,000
6.250%,
8/10/2026
2,270,400
3,000,000
3.750%,
7/8/2030
3,087,000
Westlake
Chemical
Corporation
3,200,000
3.600%,
8/15/2026
3,514,316
WestRock
Company
1,270,000
3.750%,
3/15/2025
1,419,358
Total
53,247,738
Capital
Goods
(2.8%)
Amsted
Industries,
Inc.
260,000
5.625%,
7/1/2027
g
276,593
BAE
Systems
plc
3,050,000
3.400%,
4/15/2030
g
3,412,953
2,600,000
1.900%,
2/15/2031
g
2,573,228
Carrier
Global
Corporation
2,550,000
2.700%,
2/15/2031
g
2,654,733
CNH
Industrial
Capital,
LLC
2,560,000
4.875%,
4/1/2021
2,609,395
CNH
Industrial
NV
2,560,000
3.850%,
11/15/2027
2,766,259
Crown
Cork
&
Seal
Company,
Inc.
640,000
7.375%,
12/15/2026
760,883
General
Electric
Company
5,200,000
5.000%,
1/21/2021
b,i
4,143,170
2,550,000
3.450%,
5/1/2027
2,695,412
Huntington
Ingalls
Industries,
Inc.
1,900,000
3.844%,
5/1/2025
g
2,087,300
John
Deere
Capital
Corporation
3,250,000
1.750%,
3/9/2027
3,395,335
L3Harris
Technologies,
Inc.
1,280,000
4.950%,
2/15/2021
1,286,972
Northrop
Grumman
Corporation
2,250,000
3.250%,
1/15/2028
2,526,789
Owens-Brockway
Glass
Container,
Inc.
450,000
5.875%,
8/15/2023
g
472,500
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
112
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Capital
Goods
(2.8%)
-
continued
Parker-Hannifin
Corporation
$
3,250,000
4.000%,
6/14/2049
$
3,899,851
Roper
Technologies,
Inc.
2,240,000
3.800%,
12/15/2026
2,584,543
Spirit
AeroSystems,
Inc.
3,200,000
1.050%,
(LIBOR
3M
+
0.800%),
6/15/2021
b
3,027,074
Textron,
Inc.
1,280,000
4.300%,
3/1/2024
1,391,816
630,000
3.875%,
3/1/2025
690,233
2,560,000
3.650%,
3/15/2027
2,793,241
United
Rentals
North
America,
Inc.
640,000
4.000%,
7/15/2030
654,400
United
Technologies
Corporation
1,925,000
3.950%,
8/16/2025
2,188,374
1,925,000
4.450%,
11/16/2038
2,366,521
Total
51,257,575
Collateralized
Mortgage
Obligations
(<0.1%)
GMAC
Mortgage
Corporation
Loan
Trust
132,711
0.648%,
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,j
147,897
IndyMac
Seconds
Asset-Backed
Trust
304,653
0.488%,
(LIBOR
1M
+
0.340%),
10/25/2036,
Ser.
2006-2B,
Class
A
b,j
210,219
Wachovia
Mortgage
Loan
Trust,
LLC
389,758
3.898%,
5/20/2036,
Ser.
2006-A,
Class
2A1
b
385,653
Total
743,769
Communications
Services
(8.6%)
American
Tower
Corporation
2,560,000
3.125%,
1/15/2027
2,794,477
3,100,000
1.875%,
10/15/2030
3,053,106
AT&T,
Inc.
5,208,000
3.650%,
9/15/2059
g
5,029,211
5,120,000
4.250%,
3/1/2027
5,941,835
2,643,000
4.300%,
2/15/2030
3,129,180
3,250,000
2.750%,
6/1/2031
3,417,352
3,190,000
4.300%,
12/15/2042
3,594,870
4,650,000
3.100%,
2/1/2043
4,536,345
3,200,000
4.500%,
3/9/2048
3,653,276
British
Telecommunications
plc
3,200,000
4.500%,
12/4/2023
3,540,801
CCO
Holdings,
LLC
380,000
5.500%,
5/1/2026
g
396,150
640,000
4.750%,
3/1/2030
g
677,600
260,000
4.500%,
8/15/2030
g
273,012
Charter
Communications
Operating,
LLC
4,500,000
4.800%,
3/1/2050
5,143,250
3,300,000
4.908%,
7/23/2025
3,814,371
2,450,000
6.384%,
10/23/2035
3,340,467
4,925,000
6.484%,
10/23/2045
6,565,083
Comcast
Corporation
1,920,000
3.375%,
8/15/2025
2,140,178
3,200,000
3.300%,
4/1/2027
3,619,946
605,000
6.400%,
5/15/2038
914,635
3,150,000
4.600%,
10/15/2038
4,010,474
3,150,000
3.750%,
4/1/2040
3,674,552
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Communications
Services
(8.6%)
-
continued
$
3,200,000
4.650%,
7/15/2042
$
4,168,457
Cox
Communications,
Inc.
3,200,000
3.350%,
9/15/2026
g
3,557,614
560,000
4.800%,
2/1/2035
g
703,698
2,405,000
4.700%,
12/15/2042
g
2,971,406
Crown
Castle
International
Corporation
4,160,000
5.250%,
1/15/2023
4,570,860
CSC
Holdings,
LLC
500,000
4.125%,
12/1/2030
g
509,625
Discovery
Communications,
LLC
4,500,000
4.650%,
5/15/2050
5,131,115
1,600,000
4.900%,
3/11/2026
1,869,101
Fox
Corporation
3,200,000
5.476%,
1/25/2039
4,273,801
Front
Range
BidCo,
Inc.
320,000
4.000%,
3/1/2027
g
314,952
GCI,
LLC
100,000
4.750%,
10/15/2028
d,g
101,251
iHeartCommunications,
Inc.
180,000
4.750%,
1/15/2028
g
169,641
Level
3
Financing,
Inc.
640,000
5.250%,
3/15/2026
663,008
Meredith
Corporation
150,000
6.500%,
7/1/2025
g
154,500
Nexstar
Escrow
Corporation
640,000
5.625%,
7/15/2027
g
671,328
Nielsen
Finance,
LLC
150,000
5.625%,
10/1/2028
g
154,125
Omnicom
Group,
Inc.
940,000
3.650%,
11/1/2024
1,033,965
1,300,000
4.200%,
6/1/2030
1,520,883
SFR
Group
SA
320,000
7.375%,
5/1/2026
g
335,328
Sinclair
Television
Group,
Inc.
640,000
5.875%,
3/15/2026
g
630,400
Sirius
XM
Radio,
Inc.
640,000
4.125%,
7/1/2030
g
655,866
Sprint
Capital
Corporation
230,000
6.875%,
11/15/2028
286,427
Sprint
Corporation
5,530,000
7.125%,
6/15/2024
6,362,873
Time
Warner
Entertainment
Company,
LP
1,720,000
8.375%,
3/15/2023
2,021,217
T-Mobile
USA,
Inc.
360,000
4.500%,
2/1/2026
370,944
6,450,000
3.750%,
4/15/2027
g
7,221,033
1,250,000
2.550%,
2/15/2031
d,g
1,295,100
1,800,000
3.000%,
2/15/2041
d,g
1,777,032
VeriSign,
Inc.
640,000
4.750%,
7/15/2027
678,400
Verizon
Communications,
Inc.
2,600,000
4.000%,
3/22/2050
3,193,437
2,740,000
3.500%,
11/1/2024
3,024,583
4,400,000
1.380%,
(LIBOR
3M
+
1.100%),
5/15/2025
b
4,494,855
3,850,000
4.272%,
1/15/2036
4,741,874
1,920,000
5.250%,
3/16/2037
2,654,880
Viacom,
Inc.
3,200,000
4.375%,
3/15/2043
3,391,607
Virgin
Media
Secured
Finance
plc
960,000
5.500%,
8/15/2026
g
1,000,800
Vodafone
Group
plc
2,150,000
5.000%,
5/30/2038
2,675,745
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
113
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Communications
Services
(8.6%)
-
continued
VTR
Finance
BV
$
70,000
6.375%,
N/A
g
$
73,500
Walt
Disney
Company
1,900,000
7.625%,
11/30/2028
2,716,462
3,900,000
3.500%,
5/13/2040
4,367,941
Windstream
Services,
LLC
160,000
8.625%,
10/31/2025
*,f
96,000
Total
159,865,805
Consumer
Cyclical
(5.6%)
Amazon.com,
Inc.
3,200,000
1.500%,
6/3/2030
3,267,011
American
Honda
Finance
Corporation
2,600,000
2.150%,
9/10/2024
2,735,497
Brookfield
Property
REIT,
Inc.
270,000
5.750%,
5/15/2026
g,h
212,779
Brookfield
Residential
Properties,
Inc.
400,000
6.250%,
9/15/2027
g
403,370
Cedar
Fair,
LP
480,000
5.250%,
7/15/2029
h
455,702
Choice
Hotels
International,
Inc.
3,100,000
3.700%,
1/15/2031
h
3,262,285
Colt
Merger
Sub,
Inc.
320,000
6.250%,
7/1/2025
g
333,600
CVS
Health
Corporation
1,950,000
4.250%,
4/1/2050
2,286,860
1,300,000
3.625%,
4/1/2027
1,459,915
D.R.
Horton,
Inc.
1,950,000
2.600%,
10/15/2025
2,090,768
Daimler
Finance
North
America,
LLC
1,900,000
0.799%,
(LIBOR
3M
+
0.550%),
5/4/2021
b,g
1,900,843
1,900,000
1.750%,
3/10/2023
g
1,937,534
Ford
Motor
Credit
Company,
LLC
1,900,000
3.470%,
4/5/2021
1,895,250
2,575,000
4.250%,
9/20/2022
2,597,299
5,150,000
4.125%,
8/17/2027
5,008,375
General
Motors
Company
1,300,000
6.125%,
10/1/2025
1,509,849
6,425,000
6.800%,
10/1/2027
7,808,127
1,230,000
5.000%,
4/1/2035
1,333,972
General
Motors
Financial
Company,
Inc.
3,100,000
1.700%,
8/18/2023
3,111,625
2,510,000
4.000%,
1/15/2025
2,682,078
Hanesbrands,
Inc.
640,000
4.625%,
5/15/2024
g
665,466
Harley-Davidson
Financial
Services,
Inc.
3,380,000
4.050%,
2/4/2022
g
3,492,908
Home
Depot,
Inc.
3,250,000
2.500%,
4/15/2027
3,530,719
3,180,000
4.250%,
4/1/2046
4,044,596
Hyundai
Capital
America
1,225,000
1.250%,
9/18/2023
g
1,222,174
2,800,000
2.375%,
10/15/2027
g
2,798,386
Hyundai
Capital
Services,
Inc.
1,920,000
3.000%,
3/6/2022
g
1,968,383
Kohl's
Corporation
2,500,000
9.500%,
5/15/2025
2,949,575
Lennar
Corporation
2,005,000
2.950%,
11/29/2020
2,005,000
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Consumer
Cyclical
(5.6%)
-
continued
$
1,900,000
4.125%,
1/15/2022
$
1,942,750
1,900,000
4.500%,
4/30/2024
2,037,750
Lowe's
Companies,
Inc.
1,900,000
5.000%,
4/15/2040
2,488,987
Marriott
International
1,900,000
4.625%,
6/15/2030
2,033,187
Mastercard,
Inc.
1,900,000
3.850%,
3/26/2050
2,390,294
McDonald's
Corporation
3,175,000
4.450%,
3/1/2047
3,934,904
Nissan
Motor
Company,
Ltd.
1,900,000
3.522%,
9/17/2025
g
1,919,933
ServiceMaster
Company,
LLC
500,000
5.125%,
11/15/2024
g
511,250
Six
Flags
Entertainment
Corporation
110,000
5.500%,
4/15/2027
g,h
104,313
Six
Flags
Theme
Parks,
Inc.
70,000
7.000%,
7/1/2025
g
74,462
ViacomCBS,
Inc.
3,200,000
4.200%,
5/19/2032
3,652,700
Visa,
Inc.
2,600,000
1.900%,
4/15/2027
2,758,541
Volkswagen
Group
of
America
Finance,
LLC
2,800,000
4.250%,
11/13/2023
g
3,076,357
3,000,000
3.350%,
5/13/2025
g
3,275,172
Walgreens
Boots
Alliance,
Inc.
5,000,000
4.100%,
4/15/2050
5,038,382
Total
104,208,928
Consumer
Non-Cyclical
(12.9%)
Abbott
Laboratories
2,901,000
3.750%,
11/30/2026
3,365,411
1,440,000
4.750%,
11/30/2036
1,924,573
2,500,000
6.000%,
4/1/2039
3,834,946
AbbVie,
Inc.
4,460,000
3.200%,
5/14/2026
4,916,195
2,550,000
2.950%,
11/21/2026
g
2,777,791
3,200,000
3.200%,
11/21/2029
g
3,518,515
3,200,000
4.050%,
11/21/2039
g
3,654,712
Altria
Group,
Inc.
3,200,000
4.450%,
5/6/2050
3,553,226
8,250,000
5.800%,
2/14/2039
10,525,913
Amgen,
Inc.
3,200,000
3.375%,
2/21/2050
3,456,154
Anheuser-Busch
Companies,
LLC
3,210,000
4.700%,
2/1/2036
3,872,291
Anheuser-Busch
InBev
Worldwide,
Inc.
3,825,000
4.000%,
4/13/2028
4,417,584
4,500,000
3.500%,
6/1/2030
5,116,373
2,550,000
4.600%,
4/15/2048
3,034,363
3,200,000
4.439%,
10/6/2048
3,728,313
BAT
Capital
Corporation
2,750,000
5.282%,
4/2/2050
3,225,443
2,550,000
3.222%,
8/15/2024
2,728,606
3,250,000
4.700%,
4/2/2027
3,726,611
5,000,000
2.259%,
3/25/2028
5,012,190
3,100,000
3.734%,
9/25/2040
3,075,978
Bausch
Health
Companies,
Inc.
50,000
5.000%,
1/30/2028
g
48,562
Baxalta,
Inc.
1,511,000
4.000%,
6/23/2025
1,717,207
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
114
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Consumer
Non-Cyclical
(12.9%)
-
continued
Becton,
Dickinson
and
Company
$
3,250,000
3.363%,
6/6/2024
$
3,515,850
3,850,000
3.700%,
6/6/2027
4,363,212
Boston
Scientific
Corporation
2,660,000
3.375%,
5/15/2022
2,780,897
1,950,000
3.750%,
3/1/2026
2,221,670
1,722,000
7.375%,
1/15/2040
2,759,714
Bunge,
Ltd.
Finance
Corporation
1,920,000
3.500%,
11/24/2020
1,928,404
Cargill,
Inc.
3,250,000
3.250%,
5/23/2029
g
3,672,815
Centene
Corporation
1,900,000
5.375%,
6/1/2026
g
2,005,393
160,000
4.250%,
12/15/2027
167,429
480,000
4.625%,
12/15/2029
517,757
7,105,000
3.375%,
2/15/2030
7,371,438
2,500,000
3.000%,
10/15/2030
d
2,546,875
Cigna
Corporation
3,200,000
4.125%,
11/15/2025
3,669,184
3,850,000
2.400%,
3/15/2030
3,980,867
3,200,000
4.800%,
8/15/2038
3,966,094
Conagra
Brands,
Inc.
1,000,000
4.600%,
11/1/2025
1,160,666
Constellation
Brands,
Inc.
1,700,000
4.400%,
11/15/2025
1,975,962
640,000
3.500%,
5/9/2027
715,121
3,300,000
5.250%,
11/15/2048
4,431,786
CVS
Health
Corporation
1,870,000
4.750%,
12/1/2022
2,016,270
763,000
4.100%,
3/25/2025
862,074
1,600,000
3.875%,
7/20/2025
1,803,862
5,210,000
5.050%,
3/25/2048
6,625,599
DENTSPLY
SIRONA,
Inc.
4,500,000
3.250%,
6/1/2030
4,889,038
Encompass
Health
Corporation
350,000
4.500%,
2/1/2028
351,750
HCA,
Inc.
640,000
5.375%,
2/1/2025
700,800
HLF
Financing
SARL,
LLC
250,000
7.250%,
8/15/2026
g
256,875
Imperial
Brands
Finance
plc
3,200,000
3.500%,
7/26/2026
g
3,461,053
Imperial
Tobacco
Finance
plc
2,190,000
3.750%,
7/21/2022
g
2,288,112
JBS
USA,
LLC
640,000
6.500%,
4/15/2029
g
710,381
Keurig
Dr.
Pepper,
Inc.
3,250,000
3.800%,
5/1/2050
3,730,433
Kraft
Foods
Group,
Inc.
230,000
5.000%,
6/4/2042
251,566
Kraft
Heinz
Foods
Company
1,900,000
5.500%,
6/1/2050
g
2,173,228
1,280,000
3.000%,
6/1/2026
1,317,966
450,000
3.750%,
4/1/2030
g
475,033
Kroger
Company
3,200,000
2.650%,
10/15/2026
3,495,725
Mylan,
Inc.
2,500,000
4.550%,
4/15/2028
2,910,758
3,200,000
5.200%,
4/15/2048
3,959,668
Nestle
Holdings,
Inc.
3,850,000
3.900%,
9/24/2038
g
4,823,130
Par
Pharmaceutical,
Inc.
640,000
7.500%,
4/1/2027
g
670,515
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Consumer
Non-Cyclical
(12.9%)
-
continued
Perrigo
Finance
Unlimited
Company
$
1,900,000
3.150%,
6/15/2030
$
1,968,990
QBE
Insurance
Group,
Ltd.
2,575,000
5.875%,
5/12/2025
b,g,h,i
2,732,719
Reckitt
Benckiser
Treasury
Services
plc
2,880,000
2.750%,
6/26/2024
g
3,065,849
Reynolds
American,
Inc.
1,560,000
5.850%,
8/15/2045
1,890,838
Royalty
Pharma
plc
2,550,000
1.750%,
9/2/2027
g
2,547,781
2,450,000
2.200%,
9/2/2030
g
2,435,680
Shire
Acquisitions
Investments
Ireland
Designated
Activity
Company
3,200,000
2.875%,
9/23/2023
3,396,588
Smithfield
Foods,
Inc.
7,500,000
2.650%,
10/3/2021
g
7,546,377
1,200,000
3.000%,
10/15/2030
g
1,212,096
Sysco
Corporation
1,600,000
5.950%,
4/1/2030
2,019,115
1,768,000
4.850%,
10/1/2045
1,995,317
Teleflex,
Inc.
400,000
4.250%,
6/1/2028
g
414,000
Tenet
Healthcare
Corporation
640,000
5.125%,
11/1/2027
g
658,304
Thermo
Fisher
Scientific,
Inc.
1,280,000
2.950%,
9/19/2026
1,424,562
Tyson
Foods,
Inc.
1,280,000
3.550%,
6/2/2027
1,445,382
UnitedHealth
Group,
Inc.
3,200,000
2.950%,
10/15/2027
3,564,443
1,240,000
4.750%,
7/15/2045
1,672,855
3,225,000
4.450%,
12/15/2048
4,294,534
Upjohn,
Inc.
1,900,000
4.000%,
6/22/2050
g
2,022,768
3,800,000
3.850%,
6/22/2040
g
4,091,147
VRX
Escrow
Corporation
700,000
6.125%,
4/15/2025
g
716,625
Zimmer
Biomet
Holdings,
Inc.
3,900,000
3.550%,
3/20/2030
4,369,603
Total
238,241,500
Energy
(9.9%)
Antero
Resources
Corporation
105,000
5.000%,
3/1/2025
65,625
Apache
Corporation
270,000
4.875%,
11/15/2027
255,150
Baker
Hughes,
LLC
2,575,000
4.486%,
5/1/2030
2,929,748
BP
Capital
Markets
America,
Inc.
3,200,000
3.000%,
2/24/2050
3,043,333
1,590,000
3.119%,
5/4/2026
1,756,136
2,560,000
3.017%,
1/16/2027
2,811,503
1,950,000
3.543%,
4/6/2027
2,184,881
BP
Capital
Markets
plc
2,490,000
3.814%,
2/10/2024
2,736,677
Buckeye
Partners,
LP
350,000
4.125%,
3/1/2025
g
334,250
Canadian
Natural
Resources,
Ltd.
3,200,000
2.950%,
7/15/2030
3,219,338
Cheniere
Corpus
Christi
Holdings,
LLC
3,250,000
3.700%,
11/15/2029
g
3,375,948
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
115
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Energy
(9.9%)
-
continued
Cheniere
Energy
Partners,
LP
$
960,000
4.500%,
10/1/2029
$
984,480
Continental
Resources,
Inc.
3,200,000
4.500%,
4/15/2023
3,050,912
Devon
Energy
Corporation
2,290,000
7.950%,
4/15/2032
2,961,575
Devon
Financing
Corporation,
ULC
1,900,000
7.875%,
9/30/2031
2,452,731
Diamondback
Energy,
Inc.
4,600,000
3.500%,
12/1/2029
4,435,090
El
Paso
Pipeline
Partners
Operating
Company,
LLC
1,280,000
4.700%,
11/1/2042
1,382,565
Enagas
SA
320,000
5.500%,
1/15/2028
g
288,000
Enbridge,
Inc.
1,850,000
5.750%,
7/15/2080
b
1,914,384
Energy
Transfer
Operating,
LP
4,150,000
3.750%,
5/15/2030
4,016,674
3,200,000
6.000%,
6/15/2048
3,213,040
Energy
Transfer
Partners,
LP
4,480,000
4.200%,
4/15/2027
4,631,780
Enterprise
Products
Operating,
LLC
3,700,000
3.200%,
2/15/2052
3,344,776
2,490,000
3.700%,
2/15/2026
2,792,046
3,200,000
4.875%,
8/16/2077
b
2,787,232
EOG
Resources,
Inc.
900,000
4.950%,
4/15/2050
1,103,499
3,500,000
4.375%,
4/15/2030
4,121,407
EQM
Midstream
Partners,
LP
320,000
5.500%,
7/15/2028
322,256
EQT
Corporation
640,000
3.900%,
10/1/2027
h
583,200
Equinor
ASA
3,900,000
3.000%,
4/6/2027
4,294,780
2,575,000
3.125%,
4/6/2030
2,888,662
Exxon
Mobil
Corporation
3,250,000
4.327%,
3/19/2050
4,039,321
Hess
Corporation
1,280,000
3.500%,
7/15/2024
1,309,236
Kinder
Morgan,
Inc.
1,280,000
5.000%,
2/15/2021
g
1,296,058
3,175,000
5.200%,
3/1/2048
3,713,130
Marathon
Oil
Corporation
3,850,000
4.400%,
7/15/2027
3,828,075
Marathon
Petroleum
Corporation
2,560,000
4.750%,
12/15/2023
2,805,576
3,220,000
6.500%,
3/1/2041
3,923,317
MPLX,
LP
2,550,000
3.500%,
12/1/2022
2,672,375
2,550,000
4.875%,
6/1/2025
2,890,416
3,250,000
4.800%,
2/15/2029
3,730,932
1,920,000
5.200%,
3/1/2047
2,059,085
Murphy
Oil
Corporation
250,000
5.875%,
12/1/2027
213,510
National
Fuel
Gas
Company
5,186,000
5.500%,
1/15/2026
5,659,990
Newfield
Exploration
Company
2,000,000
5.625%,
7/1/2024
1,945,246
4,756,000
5.375%,
1/1/2026
4,471,900
Noble
Energy,
Inc.
3,240,000
3.900%,
11/15/2024
3,544,477
2,600,000
5.050%,
11/15/2044
3,367,485
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Energy
(9.9%)
-
continued
Occidental
Petroleum
Corporation
$
6,250,000
4.200%,
3/15/2048
$
4,296,875
ONEOK,
Inc.
1,900,000
2.200%,
9/15/2025
1,872,133
Petroleos
Mexicanos
5,100,000
6.500%,
3/13/2027
4,755,750
3,200,000
6.750%,
9/21/2047
2,464,000
Plains
All
American
Pipeline,
LP
3,200,000
4.500%,
12/15/2026
3,413,748
3,200,000
3.550%,
12/15/2029
3,093,984
3,200,000
3.800%,
9/15/2030
3,100,253
1,900,000
4.300%,
1/31/2043
1,607,218
Sabine
Pass
Liquefaction,
LLC
1,910,000
5.750%,
5/15/2024
2,162,186
1,300,000
4.500%,
5/15/2030
g
1,463,123
Schlumberger
Holdings
Corporation
3,250,000
3.900%,
5/17/2028
g
3,498,714
Suncor
Energy,
Inc.
1,920,000
3.600%,
12/1/2024
2,090,382
2,900,000
3.100%,
5/15/2025
3,114,722
Sunoco
Logistics
Partners
Operations,
LP
3,200,000
3.450%,
1/15/2023
3,257,821
4,500,000
4.000%,
10/1/2027
4,594,357
Sunoco,
LP
640,000
5.500%,
2/15/2026
639,200
Williams
Companies,
Inc.
3,200,000
7.500%,
1/15/2031
4,207,745
Williams
Partners,
LP
1,930,000
4.500%,
11/15/2023
2,113,149
1,600,000
3.750%,
6/15/2027
1,754,934
3,000,000
4.850%,
3/1/2048
3,367,365
Total
182,619,466
Financials
(26.8%)
Aegon
NV
2,600,000
0.736%,
(USISDA
10Y
+
0.100%),
1/15/2021
b,i
1,971,840
AerCap
Ireland
Capital
DAC
2,400,000
6.500%,
7/15/2025
2,590,461
2,500,000
4.625%,
10/15/2027
2,424,554
AerCap
Ireland
Capital,
Ltd.
960,000
3.950%,
2/1/2022
971,881
3,800,000
3.875%,
1/23/2028
h
3,500,768
AIA
Group,
Ltd.
3,100,000
3.200%,
9/16/2040
g
3,201,153
Air
Lease
Corporation
2,510,000
3.750%,
2/1/2022
2,561,070
1,260,000
4.250%,
9/15/2024
1,314,022
1,850,000
3.625%,
4/1/2027
1,829,814
Ally
Financial,
Inc.
300,000
5.750%,
11/20/2025
336,773
American
International
Group,
Inc.
2,700,000
4.200%,
4/1/2028
3,125,790
Associated
Banc-Corporation
3,150,000
4.250%,
1/15/2025
3,355,620
Australia
and
New
Zealand
Banking
Group,
Ltd.
3,200,000
2.950%,
7/22/2030
b,g
3,315,936
Aviation
Capital
Group,
LLC
2,800,000
5.500%,
12/15/2024
g
2,888,359
Avolon
Holdings
Funding,
Ltd.
1,300,000
5.250%,
5/15/2024
g
1,305,766
1,800,000
5.500%,
1/15/2026
g
1,806,948
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
116
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Financials
(26.8%)
-
continued
$
6,400,000
4.375%,
5/1/2026
g
$
6,070,335
Banco
Bilbao
Vizcaya
Argentaria
SA
2,600,000
6.500%,
3/5/2025
b,i
2,587,000
Banco
del
Estado
de
Chile
3,850,000
2.704%,
1/9/2025
g
4,047,351
Banco
Santander
SA
3,200,000
2.746%,
5/28/2025
3,362,656
1,800,000
4.379%,
4/12/2028
2,041,636
2,000,000
3.490%,
5/28/2030
2,175,529
Bank
of
America
Corporation
2,830,000
4.200%,
8/26/2024
3,151,079
2,860,000
6.500%,
10/23/2024
b,i
3,178,890
3,200,000
4.000%,
1/22/2025
3,563,930
2,750,000
3.950%,
4/21/2025
3,053,713
9,400,000
3.705%,
4/24/2028
b
10,613,741
2,550,000
4.271%,
7/23/2029
b
2,988,062
3,970,000
3.194%,
7/23/2030
b
4,386,168
Bank
of
New
York
Mellon
Corporation
1,925,000
4.700%,
9/20/2025
b,i
2,042,425
Bank
of
Nova
Scotia
4,250,000
4.900%,
6/4/2025
b,i
4,398,750
Barclays
Bank
plc
1,910,000
10.179%,
6/12/2021
g
2,009,432
Barclays
plc
3,200,000
7.875%,
3/15/2022
b,i
3,292,000
2,800,000
4.338%,
5/16/2024
b
3,005,731
650,000
8.000%,
6/15/2024
b,i
692,250
3,100,000
6.125%,
12/15/2025
b,i
3,142,625
1,280,000
4.836%,
5/9/2028
1,374,854
Berkshire
Hathaway
Finance
Corporation
1,950,000
4.250%,
1/15/2049
2,537,593
Boston
Properties,
LP
3,200,000
2.750%,
10/1/2026
3,427,773
1,900,000
3.250%,
1/30/2031
2,046,329
BPCE
SA
1,920,000
3.000%,
5/22/2022
g
1,986,176
1,265,000
5.700%,
10/22/2023
g
1,417,577
2,190,000
5.150%,
7/21/2024
g
2,452,191
Brandywine
Operating
Partnership,
LP
3,100,000
3.950%,
11/15/2027
3,216,070
Capital
One
Bank
USA
NA
2,000,000
3.375%,
2/15/2023
2,113,576
Capital
One
Financial
Corporation
3,190,000
4.200%,
10/29/2025
3,535,851
Charles
Schwab
Corporation
2,550,000
5.375%,
6/1/2025
b,i
2,763,052
CIT
Group,
Inc.
320,000
4.125%,
3/9/2021
320,000
960,000
5.250%,
3/7/2025
1,015,680
Citigroup,
Inc.
2,560,000
1.676%,
(LIBOR
3M
+
1.430%),
9/1/2023
b
2,602,624
3,200,000
4.700%,
1/30/2025
b,i
3,092,000
3,600,000
3.352%,
4/24/2025
b
3,894,305
4,370,000
4.400%,
6/10/2025
4,914,373
3,305,000
5.500%,
9/13/2025
3,908,572
1,910,000
3.700%,
1/12/2026
2,145,424
2,490,000
4.450%,
9/29/2027
2,884,222
3,749,000
3.520%,
10/27/2028
b
4,165,602
Citizens
Bank
NA
1,280,000
2.650%,
5/26/2022
1,322,641
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Financials
(26.8%)
-
continued
Citizens
Financial
Group,
Inc.
$
1,280,000
2.375%,
7/28/2021
$
1,298,502
CNA
Financial
Corporation
1,870,000
7.250%,
11/15/2023
2,210,674
650,000
3.950%,
5/15/2024
720,125
3,250,000
3.450%,
8/15/2027
3,649,574
Comerica,
Inc.
2,100,000
5.625%,
7/1/2025
b,i
2,205,000
Commerzbank
AG
3,200,000
8.125%,
9/19/2023
g
3,641,728
CoreStates
Capital
III
2,440,000
0.850%,
(LIBOR
3M
+
0.570%),
2/15/2027
b,g
2,219,510
Corporate
Office
Properties,
LP
2,175,000
2.250%,
3/15/2026
2,199,401
Credit
Acceptance
Corporation
160,000
5.125%,
12/31/2024
g
158,885
Credit
Agricole
SA
1,280,000
3.375%,
1/10/2022
g
1,321,919
3,800,000
3.250%,
1/14/2030
g
4,078,852
Credit
Suisse
Group
AG
3,200,000
3.574%,
1/9/2023
g
3,309,933
3,950,000
7.500%,
7/17/2023
b,g,i
4,168,474
3,700,000
5.250%,
2/11/2025
b,g,i
3,707,400
3,850,000
2.193%,
6/5/2026
b,g
3,975,338
600,000
5.100%,
1/24/2030
b,g,i
579,000
Danske
Bank
AS
5,600,000
5.000%,
1/12/2023
b,g
5,869,440
1,950,000
3.244%,
12/20/2025
b,g
2,074,990
Deutsche
Bank
AG
1,850,000
2.222%,
9/18/2024
b
1,862,143
4,000,000
6.000%,
10/30/2025
b,i
3,450,000
2,600,000
3.961%,
11/26/2025
b
2,763,070
Digital
Realty
Trust,
LP
2,700,000
2.750%,
2/1/2023
2,823,964
Discover
Bank
1,635,000
4.200%,
8/8/2023
1,788,998
2,600,000
2.450%,
9/12/2024
2,742,573
4,490,000
4.682%,
8/9/2028
b
4,707,047
Fidelity
National
Financial,
Inc.
1,250,000
5.500%,
9/1/2022
1,356,585
Fidelity
National
Information
Services,
Inc.
1,900,000
3.750%,
5/21/2029
2,234,633
First
Horizon
National
Corporation
3,900,000
4.000%,
5/26/2025
4,239,230
Five
Corners
Funding
Trust
5,110,000
4.419%,
11/15/2023
g
5,677,672
GE
Capital
Funding,
LLC
3,900,000
4.050%,
5/15/2027
g
4,200,849
1,900,000
4.400%,
5/15/2030
g
2,042,310
GE
Capital
International
Funding
Company
3,600,000
4.418%,
11/15/2035
3,804,629
Glitnir
HoldCo
ehf.,
Convertible
362
Zero
Coupon,
12/31/2030
e
0
Goldman
Sachs
Group,
Inc.
2,100,000
2.876%,
10/31/2022
b
2,150,190
1,920,000
2.908%,
6/5/2023
b
1,988,519
2,190,000
4.000%,
3/3/2024
2,408,374
4,450,000
3.850%,
7/8/2024
4,888,669
3,200,000
4.950%,
2/10/2025
b,i
3,200,960
2,490,000
4.250%,
10/21/2025
2,828,864
HCP,
Inc.
78,000
4.250%,
11/15/2023
85,356
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
117
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Financials
(26.8%)
-
continued
Healthpeak
Properties,
Inc.
$
1,950,000
2.875%,
1/15/2031
$
2,064,248
HSBC
Holdings
plc
1,280,000
6.875%,
6/1/2021
b,i
1,305,600
3,200,000
1.270%,
(LIBOR
3M
+
1.000%),
5/18/2024
b
3,187,852
2,100,000
3.803%,
3/11/2025
b
2,268,577
2,560,000
4.300%,
3/8/2026
2,887,981
1,600,000
6.000%,
5/22/2027
b,i
1,640,000
1,920,000
4.041%,
3/13/2028
b
2,120,954
Icahn
Enterprises,
LP
640,000
6.250%,
5/15/2026
667,200
ING
Groep
NV
4,500,000
4.100%,
10/2/2023
4,934,292
Itau
Unibanco
Holding
SA
3,800,000
2.900%,
1/24/2023
g
3,843,244
J.P.
Morgan
Chase
&
Company
1,270,000
6.750%,
2/1/2024
b,i
1,374,775
3,200,000
5.000%,
8/1/2024
b,i
3,194,484
4,000,000
3.875%,
9/10/2024
4,424,349
3,200,000
4.600%,
2/1/2025
b,i
3,136,000
3,800,000
3.900%,
7/15/2025
4,297,490
3,200,000
2.950%,
10/1/2026
3,520,615
3,200,000
2.956%,
5/13/2031
b
3,420,511
2,600,000
3.882%,
7/24/2038
b
3,060,671
3,150,000
5.500%,
10/15/2040
4,506,625
Kilroy
Realty,
LP
2,550,000
4.250%,
8/15/2029
2,887,783
Kimco
Realty
Corporation
5,100,000
3.300%,
2/1/2025
5,524,784
Liberty
Mutual
Group,
Inc.
1,935,000
4.950%,
5/1/2022
g
2,061,466
Lincoln
National
Corporation
4,150,000
4.000%,
9/1/2023
4,530,232
Lloyds
Bank
plc
1,910,000
4.650%,
3/24/2026
2,125,820
Lloyds
Banking
Group
plc
4,000,000
2.858%,
3/17/2023
b
4,111,805
1,950,000
7.500%,
6/27/2024
b,i
2,045,062
1,300,000
7.500%,
9/27/2025
b,i
1,384,500
1,900,000
2.438%,
2/5/2026
b
1,970,655
Marsh
&
McLennan
Companies,
Inc.
1,700,000
4.375%,
3/15/2029
2,063,641
MetLife,
Inc.
2,550,000
3.850%,
9/15/2025
b,h,i
2,540,437
MGM
Growth
Properties
Operating
Partnership,
LP
640,000
4.500%,
9/1/2026
649,290
Mizuho
Financial
Group,
Inc.
2,560,000
3.663%,
2/28/2027
2,857,481
3,100,000
1.979%,
9/8/2031
b
3,067,315
Morgan
Stanley
3,205,000
4.875%,
11/1/2022
3,464,857
3,190,000
1.664%,
(LIBOR
3M
+
1.400%),
10/24/2023
b
3,241,255
2,000,000
2.720%,
7/22/2025
b
2,124,520
1,870,000
4.000%,
7/23/2025
2,110,022
1,280,000
3.125%,
7/27/2026
1,413,026
2,510,000
4.350%,
9/8/2026
2,901,185
4,600,000
3.622%,
4/1/2031
b
5,252,271
1,570,000
4.300%,
1/27/2045
1,989,478
MPT
Operating
Partnership,
LP
640,000
5.000%,
10/15/2027
667,328
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Financials
(26.8%)
-
continued
Nationwide
Building
Society
$
2,490,000
3.900%,
7/21/2025
g
$
2,810,145
1,920,000
4.000%,
9/14/2026
g
2,079,031
Nationwide
Mutual
Insurance
Company
3,225,000
4.350%,
4/30/2050
g
3,447,486
Natwest
Group
plc
5,100,000
3.032%,
11/28/2035
b
4,898,958
Nippon
Life
Insurance
Company
2,550,000
3.400%,
1/23/2050
b,g
2,715,750
Park
Aerospace
Holdings,
Ltd.
1,300,000
4.500%,
3/15/2023
g
1,289,648
Peachtree
Corners
Funding
Trust
2,800,000
3.976%,
2/15/2025
g
3,083,418
Preferred
Term
Securities
XXIII,
Ltd.
197,555
0.450%,
(LIBOR
3M
+
0.200%),
12/22/2036
b,g
162,876
Provident
Financing
Trust
I
2,800,000
7.405%,
3/15/2038
3,211,691
Prudential
Financial,
Inc.
3,800,000
3.700%,
3/13/2051
4,182,238
1,200,000
5.200%,
3/15/2044
b
1,270,930
2,750,000
3.700%,
10/1/2050
b
2,805,825
Realty
Income
Corporation
3,830,000
3.875%,
7/15/2024
4,227,621
Regency
Centers,
LP
2,560,000
3.600%,
2/1/2027
2,768,967
Regions
Financial
Corporation
2,600,000
5.750%,
6/15/2025
b,h,i
2,775,500
Reinsurance
Group
of
America,
Inc.
3,050,000
4.700%,
9/15/2023
3,367,490
Royal
Bank
of
Scotland
Group
plc
1,920,000
8.625%,
8/15/2021
b,i
1,968,000
2,750,000
4.269%,
3/22/2025
b
2,988,952
3,900,000
6.000%,
12/29/2025
b,h,i
3,968,250
1,000,000
3.754%,
11/1/2029
b
1,035,347
Santander
Holdings
USA,
Inc.
2,400,000
3.450%,
6/2/2025
2,561,172
Santander
UK
Group
Holdings
plc
2,500,000
4.750%,
9/15/2025
g
2,733,862
Service
Properties
Trust
240,000
4.750%,
10/1/2026
213,876
Spirit
Realty,
LP
3,750,000
3.400%,
1/15/2030
3,726,007
1,850,000
3.200%,
2/15/2031
1,804,090
Standard
Chartered
plc
2,700,000
2.744%,
9/10/2022
b,g
2,742,698
3,250,000
1.422%,
(LIBOR
3M
+
1.150%),
1/20/2023
b,g
3,262,008
Synchrony
Financial
1,950,000
4.250%,
8/15/2024
2,118,628
1,950,000
3.950%,
12/1/2027
2,097,391
Truist
Financial
Corporation
1,450,000
4.950%,
9/1/2025
b,i
1,526,125
UBS
Group
Funding
Jersey,
Ltd.
1,600,000
2.650%,
2/1/2022
g
1,645,772
2,490,000
4.125%,
9/24/2025
g
2,837,545
UBS
Group
Funding
Switzerland
AG
2,560,000
4.253%,
3/23/2028
g
2,968,709
Ventas
Realty,
LP
1,280,000
3.500%,
2/1/2025
1,385,773
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
118
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Financials
(26.8%)
-
continued
VEREIT
Operating
Partnership,
LP
$
1,250,000
4.625%,
11/1/2025
$
1,380,842
3,100,000
3.400%,
1/15/2028
3,228,630
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
180,000
4.250%,
12/1/2026
g
180,837
180,000
4.625%,
12/1/2029
g
183,858
Wells
Fargo
&
Company
4,000,000
4.125%,
8/15/2023
4,357,301
2,560,000
3.000%,
4/22/2026
2,784,444
3,200,000
2.393%,
6/2/2028
b
3,337,217
Welltower,
Inc.
2,200,000
4.000%,
6/1/2025
2,458,864
Westpac
Banking
Corporation
2,900,000
2.894%,
2/4/2030
b
3,004,865
Total
496,512,241
Foreign
Government
(0.3%)
Bahrain
Government
International
Bond
3,250,000
5.875%,
1/26/2021
3,283,150
Dominican
Republic
Government
International
Bond
950,000
6.000%,
7/19/2028
g
1,021,250
Qatar
Government
International
Bond
1,900,000
4.500%,
4/23/2028
g
2,270,500
Total
6,574,900
Mortgage-Backed
Securities
(3.1%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
8,763,129
3.000%,
3/25/2050
9,188,898
1,555,850
3.000%,
4/1/2050
1,631,445
4,537,528
3.500%,
7/1/2047
4,801,211
Federal
National
Mortgage
Association
972,117
4.500%,
5/1/2048
1,052,807
3,547,255
3.500%,
10/1/2048
3,748,010
2,878,483
3.500%,
6/1/2049
3,044,870
4,199,760
3.500%,
8/1/2049
4,447,064
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
3,000,000
1.500%,
10/1/2035
d
3,068,672
2,550,000
2.000%,
10/1/2035
d
2,649,609
3,125,000
2.000%,
11/1/2035
d
3,245,833
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,800,000
2.000%,
10/1/2050
d
2,894,500
7,350,000
2.500%,
10/1/2050
d
7,708,887
5,000,000
2.000%,
11/1/2050
d
5,156,395
1,975,000
2.500%,
11/1/2050
d
2,067,173
3,337,632
4.000%,
7/1/2048
3,559,851
Total
58,265,225
Technology
(5.4%)
Apple,
Inc.
4,450,000
3.250%,
2/23/2026
5,002,961
1,920,000
3.750%,
9/12/2047
2,360,639
Applied
Materials,
Inc.
1,280,000
3.300%,
4/1/2027
1,454,325
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Technology
(5.4%)
-
continued
Broadcom
Corporation
$
7,650,000
3.875%,
1/15/2027
$
8,482,804
3,200,000
3.500%,
1/15/2028
3,465,344
Broadcom,
Inc.
3,850,000
4.250%,
4/15/2026
4,338,156
3,200,000
5.000%,
4/15/2030
3,774,370
Dell
International,
LLC/
EMC
Corporation
1,300,000
6.100%,
7/15/2027
g
1,534,608
Diamond
1
Finance
Corporation
423,000
5.875%,
6/15/2021
g
423,808
6,725,000
6.020%,
6/15/2026
g
7,898,232
Diamond
Sports
Group,
LLC
230,000
5.375%,
8/15/2026
g
162,725
320,000
6.625%,
8/15/2027
g
166,400
Fiserv,
Inc.
3,225,000
3.200%,
7/1/2026
3,582,264
7,000,000
2.650%,
6/1/2030
7,527,421
Gartner,
Inc.
320,000
3.750%,
10/1/2030
g
323,696
Hewlett
Packard
Enterprise
Company
2,250,000
2.250%,
4/1/2023
2,322,023
2,600,000
4.650%,
10/1/2024
2,939,577
Iron
Mountain,
Inc.
640,000
4.875%,
9/15/2029
g
651,200
Lam
Research
Corporation
3,250,000
4.000%,
3/15/2029
3,891,896
Marvell
Technology
Group,
Ltd.
1,600,000
4.200%,
6/22/2023
1,727,326
1,900,000
4.875%,
6/22/2028
2,291,731
Micron
Technology,
Inc.
3,250,000
5.327%,
2/6/2029
3,906,460
NXP
BV/NXP
Funding,
LLC
3,250,000
4.875%,
3/1/2024
g
3,654,143
3,250,000
5.350%,
3/1/2026
g
3,842,255
NXP
Funding,
LLC
1,900,000
3.150%,
5/1/2027
g
2,057,597
Oracle
Corporation
3,900,000
2.800%,
4/1/2027
4,278,775
3,200,000
4.300%,
7/8/2034
4,005,614
Panasonic
Corporation
2,900,000
3.113%,
7/19/2029
g
3,233,862
Seagate
HDD
Cayman
6,200,000
4.125%,
1/15/2031
g
6,686,448
Switch,
Ltd.
110,000
3.750%,
9/15/2028
g
111,100
Texas
Instruments,
Inc.
3,200,000
4.150%,
5/15/2048
4,175,258
Xerox
Holdings
Corporation
100,000
5.000%,
8/15/2025
g
98,827
Total
100,371,845
Transportation
(1.9%)
AerCap
Holdings
NV
3,200,000
5.875%,
10/10/2079
b
2,453,792
Aircastle,
Ltd.
3,215,000
4.400%,
9/25/2023
3,190,760
Burlington
Northern
Santa
Fe,
LLC
2,500,000
4.700%,
9/1/2045
3,337,808
3,200,000
4.050%,
6/15/2048
3,972,389
CSX
Corporation
1,900,000
2.400%,
2/15/2030
2,034,121
Delta
Air
Lines,
Inc.
1,245,712
4.250%,
7/30/2023
1,146,046
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
119
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Transportation
(1.9%)
-
continued
$
500,000
7.000%,
5/1/2025
g
$
548,910
1,850,000
4.750%,
10/20/2028
g
1,919,375
ERAC
USA
Finance,
LLC
4,030,000
4.200%,
11/1/2046
g
4,623,952
Penske
Truck
Leasing
Company,
LP
2,600,000
3.375%,
2/1/2022
g
2,684,575
Southwest
Airlines
Company
2,725,000
5.250%,
5/4/2025
3,000,633
3,800,000
5.125%,
6/15/2027
4,138,946
United
Airlines
Pass
Through
Trust
1,141,781
3.750%,
9/3/2026
1,079,107
XPO
Logistics,
Inc.
640,000
6.125%,
9/1/2023
g
653,232
Total
34,783,646
U.S.
Government
&
Agencies
(4.4%)
U.S.
Treasury
Bonds
15,250,000
2.000%,
2/15/2050
17,249,180
21,400,000
1.250%,
5/15/2050
20,279,844
19,000,000
1.375%,
8/15/2050
18,590,312
9,250,000
1.500%,
2/15/2030
9,976,992
13,000,000
2.250%,
8/15/2049
15,459,336
Total
81,555,664
Utilities
(8.1%)
AEP
Transmission
Company,
LLC
4,480,000
3.100%,
12/1/2026
5,040,136
Ameren
Illinois
Company
1,950,000
4.500%,
3/15/2049
2,586,474
American
Water
Capital
Corporation
3,200,000
3.450%,
5/1/2050
3,579,281
Arizona
Public
Service
Company
3,200,000
3.500%,
12/1/2049
3,551,077
Baltimore
Gas
and
Electric
Company
2,560,000
2.400%,
8/15/2026
2,778,515
Berkshire
Hathaway
Energy
Company
2,575,000
4.450%,
1/15/2049
3,276,075
CenterPoint
Energy
Resources
Corporation
2,800,000
1.750%,
10/1/2030
d
2,802,796
CenterPoint
Energy,
Inc.
3,250,000
2.950%,
3/1/2030
3,558,591
CMS
Energy
Corporation
2,560,000
3.450%,
8/15/2027
2,866,661
Consolidated
Edison
Company
of
New
York,
Inc.
1,280,000
2.900%,
12/1/2026
1,393,589
4,750,000
4.125%,
5/15/2049
5,688,080
Dominion
Energy,
Inc.
2,900,000
3.071%,
8/15/2024
3,117,887
2,250,000
4.650%,
12/15/2024
b,i
2,280,106
Duke
Energy
Corporation
3,840,000
2.650%,
9/1/2026
4,155,532
3,840,000
3.150%,
8/15/2027
4,236,594
3,200,000
3.750%,
9/1/2046
3,641,772
Edison
International
6,600,000
5.750%,
6/15/2027
7,283,864
Exelon
Corporation
1,600,000
3.497%,
6/1/2022
1,673,501
1,620,000
3.950%,
6/15/2025
1,825,653
1,660,000
3.400%,
4/15/2026
1,858,208
Principal
Amount
Long-Term
Fixed
Income
(94.7%)
Value
Utilities
(8.1%)
-
continued
Exelon
Generation
Company,
LLC
$
3,050,000
3.250%,
6/1/2025
$
3,333,705
FirstEnergy
Corporation
4,480,000
3.900%,
7/15/2027
4,923,228
1,300,000
4.850%,
7/15/2047
1,562,879
FirstEnergy
Transmission,
LLC
3,150,000
5.450%,
7/15/2044
g
4,062,693
Georgia
Power
Company
3,200,000
2.650%,
9/15/2029
3,424,512
ITC
Holdings
Corporation
5,080,000
4.050%,
7/1/2023
5,492,173
National
Rural
Utilities
Cooperative
Finance
Corporation
2,600,000
4.400%,
11/1/2048
3,401,877
Nevada
Power
Company
2,800,000
6.750%,
7/1/2037
4,238,999
NextEra
Energy
Operating
Partners,
LP
640,000
3.875%,
10/15/2026
g
662,400
NiSource
Finance
Corporation
1,920,000
4.375%,
5/15/2047
2,374,959
NiSource,
Inc.
3,200,000
3.600%,
5/1/2030
3,643,905
Oncor
Electric
Delivery
Company,
LLC
2,490,000
3.750%,
4/1/2045
2,968,547
Pacific
Gas
and
Electric
Company
1,270,000
2.950%,
3/1/2026
h
1,294,099
1,900,000
3.300%,
12/1/2027
1,952,787
1,900,000
3.950%,
12/1/2047
1,753,963
PPL
Capital
Funding,
Inc.
3,190,000
3.950%,
3/15/2024
3,502,382
3,100,000
4.125%,
4/15/2030
3,658,369
PPL
Electric
Utilities
Corporation
3,800,000
3.000%,
10/1/2049
4,084,245
San
Diego
Gas
and
Electric
Company
3,200,000
4.150%,
5/15/2048
3,887,073
Sempra
Energy
2,600,000
4.875%,
10/15/2025
b,i
2,671,500
3,200,000
3.250%,
6/15/2027
3,514,767
Southern
California
Edison
Company
3,200,000
3.650%,
2/1/2050
3,324,531
Southern
Company
7,630,000
3.250%,
7/1/2026
8,510,401
3,100,000
4.000%,
1/15/2051
b
3,108,598
TerraForm
Power
Operating,
LLC
640,000
5.000%,
1/31/2028
g
700,592
Total
149,247,576
Total
Long-Term
Fixed
Income
(cost
$1,629,009,085)
1,753,970,489
Shares
Registered
Investment
Companies
(
2.0%
)
Value
Unaffiliated (2.0%)
120,000
iShares
J.P.
Morgan
USD
Emerging
Markets
Bond
ETF
13,306,800
350,000
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
12,757,500
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
120
Shares
Registered
Investment
Companies
(2.0%)
Value
Unaffiliated (2.0%)-
continued
100,000
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
$
10,427,000
Total
36,491,300
Total
Registered
Investment
Companies
(cost
$34,367,675)
36,491,300
Shares
Collateral
Held
for
Securities
Loaned
(
0.5%
)
Value
9,352,350
Thrivent
Cash
Management
Trust
9,352,350
Total
Collateral
Held
for
Securities
Loaned
(cost
$9,352,350)
9,352,350
Shares
Preferred
Stock
(
0.1%
)
Value
Financials
(0.1%)
22,500
Cobank
ACB,
6.250%
b,i
2,340,000
Total
2,340,000
Total
Preferred
Stock
(cost
$2,250,000)
2,340,000
Shares
Common
Stock
(
<0.1%
)
Value
Financials
(<0.1%)
2,247
Glitnir
HoldCo
ehf.
e,k
0
Total
0
Total
Common
Stock
(cost
$–)
0
Shares
or
Principal
Amount
Short-Term
Investments
(
4.4%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
0.060%,
10/7/2020
l,m
299,997
300,000
0.080%,
10/28/2020
l,m
299,986
300,000
0.060%,
11/10/2020
l,m
299,977
200,000
0.080%,
11/12/2020
l,m
199,984
Thrivent
Core
Short-Term
Reserve
Fund
8,014,456
0.310%
80,144,561
Total
Short-Term
Investments
(cost
$81,167,830)
81,244,505
Total
Investments
(cost
$1,767,318,550)
102.3%
$1,894,244,221
Other
Assets
and
Liabilities,
Net
(2.3%)
(42,730,510)
Total
Net
Assets
100.0%
$1,851,513,711
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
All
or
a
portion
of
the
loan
is
unfunded.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
f
In
bankruptcy. Interest
is
not
being
accrued.
g
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$359,075,734
or
19.4%
of
total
net
assets.
h
All
or
a
portion
of
the
security
is
on
loan.
i
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
j
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
k
Non-income
producing
security.
l
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
m
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Income
Portfolio
as
of
September
30,
2020
was
$96,000
or
0.0%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Security
Acquisition
Date
Cost
Windstream
Services,
LLC,
10/31/2025
1/14/2020
$
157,095
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Income
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
9,057,943
Total
lending
$9,057,943
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$9,352,350
Net
amounts
due
to
counterparty
$294,407
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
121
Definitions:
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
1W
-
ICE
Libor
USD
Rate
1
Week
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
USISDA
10Y
-
ICE
Swap
USD
Rate
10
Year
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Income
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
93,742
–
93,742
–
Capital
Goods
953,837
–
953,837
–
Communications
Services
3,378,756
–
2,634,381
744,375
Consumer
Cyclical
1,956,810
–
1,956,810
–
Consumer
Non-Cyclical
2,508,409
–
2,508,409
–
Financials
951,986
–
951,986
–
Technology
1,002,037
–
1,002,037
–
Long-Term
Fixed
Income
Asset-Backed
Securities
36,474,611
–
36,474,611
–
Basic
Materials
53,247,738
–
53,247,738
–
Capital
Goods
51,257,575
–
51,257,575
–
Collateralized
Mortgage
Obligations
743,769
–
743,769
–
Communications
Services
159,865,805
–
159,865,805
–
Consumer
Cyclical
104,208,928
–
104,208,928
–
Consumer
Non-Cyclical
238,241,500
–
238,241,500
–
Energy
182,619,466
–
182,619,466
–
Financials^
496,512,241
–
496,512,241
0
Foreign
Government
6,574,900
–
6,574,900
–
Mortgage-Backed
Securities
58,265,225
–
58,265,225
–
Technology
100,371,845
–
100,371,845
–
Transportation
34,783,646
–
34,783,646
–
U.S.
Government
&
Agencies
81,555,664
–
81,555,664
–
Utilities
149,247,576
–
149,247,576
–
Registered
Investment
Companies
Unaffiliated
36,491,300
36,491,300
–
–
Preferred
Stock
Financials
2,340,000
–
2,340,000
–
Common
Stock
Financials^
0
–
–
0
Short-Term
Investments
1,099,944
–
1,099,944
–
Subtotal
Investments
in
Securities
$1,804,747,310
$36,491,300
$1,767,511,635
$744,375
Other
Investments *
Total
Affiliated
Short-Term
Investments
80,144,561
Collateral
Held
for
Securities
Loaned
9,352,350
Subtotal
Other
Investments
$89,496,911
Total
Investments
at
Value
$1,894,244,221
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
^
Level
3
security
in
this
section
is
fair
valued
at
<$1.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
309,674
309,674
–
–
Total
Liability
Derivatives
$309,674
$309,674
$–
$–
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
122
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
The
following
table
presents
Income
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$1,099,944
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
U.S.
Long
Bond
206
December
2020
$
36,623,611
(
$
309,674)
Total
Futures
Long
Contracts
$
36,623,611
(
$
309,674)
Total
Futures
Contracts
$
36,623,611
($309,674)
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Income
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$153,682
$423,557
$497,079
$80,145
8,014
4.3%
Total
Affiliated
Short-Term
Investments
153,682
80,145
4.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
7,425
167,071
165,144
9,352
9,352
0.5
Total
Collateral
Held
for
Securities
Loaned
7,425
9,352
0.5
Total
Value
$161,107
$89,497
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(92)
$77
–
$955
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$955
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
51
Total
Affiliated
Income
from
Securities
Loaned,
Net
$51
Total
Value
$(92)
$77
$–
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
123
Shares
Common
Stock
(
93.5%
)
Value
Argentina
(<0.1%)
2,014
Pampa
Energia
SA
ADR
a
$
20,805
8,316
Telecom
Argentina
SA
ADR
54,387
2,822
Transportadora
de
Gas
del
Sur
SA
ADR
a
11,739
Total
86,931
Australia
(5.1%)
54,459
AGL
Energy,
Ltd.
531,756
31,624
Ansell,
Ltd.
841,281
29,776
ARB
Corporation,
Ltd.
594,899
193,457
Aristocrat
Leisure,
Ltd.
4,219,018
43,742
ASX,
Ltd.
2,557,406
153,200
BHP
Group,
Ltd.
3,957,710
98,127
Breville
Group,
Ltd.
1,780,848
101,243
BWP
Trust
294,572
331,647
Carsales.com,
Ltd.
4,968,243
200,563
Charter
Hall
Group
1,799,648
27,013
Collins
Foods,
Ltd.
200,849
171,581
Commonwealth
Bank
of
Australia
7,895,524
22,206
Computershare,
Ltd.
196,450
101,316
CSL,
Ltd.
20,928,532
84,571
Data#
3,
Ltd.
402,011
19,137
Domino's
Pizza
Enterprises,
Ltd.
1,094,198
252,310
Genworth
Mortgage
Insurance
Australia,
Ltd.
283,349
28,770
GrainCorp,
Ltd.
a
77,913
206,269
Independence
Group
NL
621,641
10,814
Ingenia
Communities
Group
35,621
174,008
IPH,
Ltd.
901,558
82,884
JB
Hi-Fi,
Ltd.
2,818,057
160,142
Mineral
Resources,
Ltd.
2,888,391
135,406
OZ
Minerals,
Ltd.
1,381,652
113,349
Pendal
Group,
Ltd.
448,630
654,478
Perseus
Mining,
Ltd.
a
649,366
39,497
Premier
Investments,
Ltd.
587,139
84,805
Pro
Medicus,
Ltd.
1,654,092
107,434
Ramelius
Resources,
Ltd.
162,260
21,177
REA
Group,
Ltd.
1,686,300
601,629
Regis
Resources,
Ltd.
2,187,064
180,752
Reliance
Worldwide
Corporation,
Ltd.
499,701
70,595
Rio
Tinto,
Ltd.
4,821,740
106,415
Sandfire
Resources,
Ltd.
314,485
54,971
SEEK,
Ltd.
848,008
54,539
Smartgroup
Corporation,
Ltd.
225,141
45,596
Super
Retail
Group,
Ltd.
346,768
270,653
Technology
One,
Ltd.
1,550,533
224,368
Transurban
Group
2,291,000
831,604
Vita
Group,
Ltd.
612,060
264,269
Westgold
Resources,
Ltd.
a
454,605
85,566
Woodside
Petroleum,
Ltd.
1,086,010
Total
81,696,029
Austria
(0.2%)
40,753
BAWAG
Group
AG
a,b
1,473,417
40,863
OMV
AG
a
1,118,062
10,313
Osterreichische
Post
AG
347,028
Total
2,938,507
Belgium
(0.6%)
278
Aedifica
SA
33,953
81,534
bpost
SA
713,963
39,996
Euronav
SA
354,147
4,546
Gimv
NV
254,913
18,678
Groupe
Bruxelles
Lambert
SA
1,683,867
14,402
KBC
Ancora
a
453,150
Shares
Common
Stock
(93.5%)
Value
Belgium
(0.6%)
-
continued
11,572
Mobistar
SA
$
186,620
5,480
NV
Bekaert
SA
114,164
18,627
SA
D'Ieteren
NV
1,158,152
1,468
Tessenderlo
Group
a
55,081
23,000
UCB
SA
2,612,210
69,691
Warehouses
De
Pauw
SCA
2,536,149
Total
10,156,369
Bermuda
(0.1%)
52,000
Alibaba
Health
Information
Technology,
Ltd.
a
127,871
68,500
Johnson
Electric
Holdings,
Ltd.
149,274
98,000
K
Wah
International
Holdings,
Ltd.
47,373
331,000
Kerry
Logistics
Network
Limited
599,757
74,000
Road
King
Infrastructure,
Ltd.
88,431
322,400
Shanghai
Industrial
Urban
Development
Group,
Ltd.
31,003
978,000
Yuexiu
Transport
Infrastructure,
Ltd.
570,251
Total
1,613,960
Brazil
(0.6%)
53,700
Ambev
SA
120,292
83,900
Atacadao
SA
304,322
4,600
B2W
-
Companhia
Digital
a
74,071
67,800
B3
SA
-
Brasil
Bolsa
Balcao
665,456
97,300
Banco
ABC
Brasil
SA
204,098
108,616
Banco
Bradesco
SA
ADR
372,553
2,600
Banco
BTG
Pactual
SA
33,510
40,200
Banco
do
Brasil
SA
212,600
33,579
Banco
Santander
Brasil
SA
ADR
165,880
23,900
BB
Seguridade
Participacoes
SA
103,671
18,500
BRF
SA
a
60,548
13,600
Camil
Alimentos
SA
30,077
28,100
CCR
SA
63,747
6,900
Cia
Brasileira
de
Distribuicao
85,723
43,054
Companhia
Siderurgica
Nacional
SA
ADR
126,579
11,800
Cosan
Logistica
SA
a
37,170
16,500
Cosan
SA
201,112
112,600
EDP
-
Energias
do
Brasil
SA
351,079
14,000
Enauta
Participacoes
SA
24,082
59,715
Gerdau
SA
ADR
220,945
2,900
Hapvida
Participacoes
e
Investimentos
SA
b
32,249
6,300
Hypera
SA
33,329
21,000
Iochpe-Maxion
SA
51,192
136,588
Itau
Unibanco
Holding
SA
ADR
543,620
315,600
Itausa
SA
496,787
48,000
JBS
SA
176,841
27,800
Klabin
SA
117,815
13,900
Localiza
Rent
a
Car
SA
140,587
10,100
Lojas
Americanas
SA
50,807
4,000
M.
Dias
Branco
SA
24,331
15,500
Magazine
Luiza
SA
247,160
93,500
Metalurgica
Gerdau
SA
156,336
15,800
Natura
&
Company
Holding
SA
143,823
10,900
Notre
Dame
Intermedica
Participacoes
SA
126,489
31,000
Petrobras
Distribuidora
SA
112,222
211,178
Petroleo
Brasileiro
SA
740,791
36,520
Petroleo
Brasileiro
SA
ADR
260,022
98,000
Raia
Drogasil
SA
411,133
96,900
Rumo
SA
a
329,217
21,700
Suzano
SA
a
175,311
32,869
Telefonica
Brasil
SA
ADR
252,105
7,265
Tim
Participacoes
SA
ADR
83,765
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
124
Shares
Common
Stock
(93.5%)
Value
Brazil
(0.6%)
-
continued
16,800
Tupy
SA
a
$
52,531
44,175
Vale
SA
ADR
467,372
32,000
WEG
SA
372,599
Total
9,055,949
Canada
(6.3%)
45,251
Alaris
Equity
Partners
Income
Trust
371,782
87,341
Allied
Properties
REIT
2,351,527
13,805
Bank
of
Montreal
807,015
106,206
Barrick
Gold
Corporation
2,983,068
81,318
Canadian
National
Railway
Company
8,660,362
32,324
Canadian
Natural
Resources,
Ltd.
518,038
170,748
CGI,
Inc.
a
11,589,654
401,506
CI
Financial
Corporation
5,092,889
123,607
Dollarama,
Inc.
4,738,013
56,926
Gibson
Energy,
Inc.
922,581
133,400
Granite
REIT
7,742,219
12,501
Intact
Financial
Corporation
1,338,585
111,300
Laurentian
Bank
of
Canada
c
2,286,099
216,972
Manulife
Financial
Corporation
3,017,777
50,721
National
Bank
of
Canada
2,519,385
277,109
Northland
Power,
Inc.
8,382,675
69,853
Onex
Corporation
3,116,119
90,402
Peyto
Exploration
&
Development
Corporation
c
169,052
168,006
Quebecor,
Inc.
4,202,831
21,275
Restaurant
Brands
International,
Inc.
1,223,525
89,901
Royal
Bank
of
Canada
6,312,076
1,278
Shopify
Inc.
a
1,307,356
58,951
Sun
Life
Financial,
Inc.
2,402,224
10,688
Suncor
Energy,
Inc.
130,515
21,578
TC
Energy
Corporation
905,869
47,738
TFI
International,
Inc.
1,996,209
30,783
TMX
Group,
Ltd.
3,165,802
278,426
Toronto-Dominion
Bank
12,890,964
Total
101,144,211
Cayman
Islands
(2.1%)
145,500
3SBio,
Inc.
a,b
164,856
14,518
Baidu.com,
Inc.
ADR
a
1,837,833
53,000
Bizlink
Holding,
Inc.
416,350
28,000
China
Kepei
Education
Group,
Ltd.
21,790
36,000
China
Meidong
Auto
Holdings,
Ltd.
138,693
35,000
China
Mengniu
Dairy
Company,
Ltd.
165,086
401,334
China
Resources
Land,
Ltd.
1,830,414
92,000
China
Resources
Medical
Holdings
Company,
Ltd.
60,294
162,000
Chinasoft
International,
Ltd.
118,284
290,000
Consun
Pharmaceutical
Group,
Ltd.
125,448
29,500
ENN
Energy
Holdings,
Ltd.
323,711
247,000
Fu
Shou
Yuan
International
Group,
Ltd.
241,259
125,000
Goodbaby
International
Holdings,
Ltd.
a
15,786
687,000
IGG,
Inc.
789,144
211,500
Kingboard
Holdings,
Ltd.
699,725
92,000
Li
Ning
Company,
Ltd.
432,888
205,500
Longfor
Group
Holdings,
Ltd.
b
1,164,400
149,000
Lonking
Holdings,
Ltd.
39,716
80,600
Meituan
Dianping
a
2,539,005
36,000
NetDragon
Websoft
Holdings,
Ltd.
78,866
5,244
NetEase,
Inc.
ADR
2,384,290
Shares
Common
Stock
(93.5%)
Value
Cayman
Islands
(2.1%)
-
continued
8,286
New
Oriental
Education
&
Technology
Group,
Inc.
ADR
a
$
1,238,757
147,000
Shimao
Property
Holdings,
Ltd.
613,276
2,396,500
Shui
On
Land,
Ltd.
304,618
801,000
SITC
International
Holdings
Company,
Ltd.
1,109,755
6,928
TAL
Education
Group
ADR
a
526,805
195,824
Tencent
Holdings,
Ltd.
13,226,617
224,000
Tingyi
(Cayman
Islands)
Holding
Corporation
396,636
105,000
VPower
Group
International
Holdings,
Ltd.
b
38,611
18,500
Wuxi
Biologics
(Cayman),
Inc.
a,b
453,399
143,500
Xiabuxiabu
Catering
Management
Holdings
Company,
Ltd.
b
176,903
276,800
Xiaomi
Corporation
a,b
749,305
183,500
Zhongsheng
Group
Holdings,
Ltd.
1,154,309
Total
33,576,829
Chile
(0.1%)
7,339
Banco
de
Chile
ADR
110,966
2,953
Banco
de
Credito
e
Inversiones
SA
93,342
19,385
Banco
Santander
Chile
SA
ADR
268,676
16,808
CAP
SA
a
141,625
16,106
Cia
Cervecerias
Unidas
SA
ADR
208,895
491,095
Colbun
SA
79,382
61,391
Embotelladora
Andina
SA
135,675
60,208
Empresas
CMPC
SA
126,541
3,831
Empresas
Copec
SA
28,726
9,114
Enel
Americas
SA
ADR
58,876
12,622
Enel
Chile
SA
ADR
43,420
97,478
SMU
SA
14,492
3,948
Sociedad
Quimica
y
Minera
de
Chile
SA
ADR
127,994
Total
1,438,610
China
(2.9%)
63,493
Alibaba
Group
Holding,
Ltd.
ADR
a
18,665,672
23,800
Anhui
Conch
Cement
Company,
Ltd.,
Class
A
194,221
160,500
Anhui
Conch
Cement
Company,
Ltd.,
Class
H
1,111,669
1,800,000
Bank
of
China,
Ltd.
559,837
1,382,000
Bank
of
Communications
Company,
Ltd.
666,086
68,000
Beijing
North
Star
Company,
Ltd.
12,814
92,200
Beijing
SL
Pharmaceutical
Company,
Ltd.
158,305
58,400
By-health
Company,
Ltd
180,843
950,000
China
Cinda
Asset
Management
Company,
Ltd.
179,026
522,000
China
Coal
Energy
Company,
Ltd.
127,881
2,178,000
China
Construction
Bank
Corporation
1,415,205
19,000
China
Merchants
Bank
Company,
Ltd.
90,163
464,000
China
National
Building
Material
Company,
Ltd.
591,343
694,000
China
Oilfield
Services,
Ltd.
485,727
12,277
China
Petroleum
&
Chemical
Corporation
ADR
496,727
43,572
China
Resources
Sanjiu
Medical
and
Pharmaceutical
Company,
Ltd.
164,101
3,126,000
China
Telecom
Corporation,
Ltd.
939,200
205,100
China
Vanke
Company,
Ltd.
630,450
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
125
Shares
Common
Stock
(93.5%)
Value
China
(2.9%)
-
continued
305,200
China
Yangtze
Power
Company,
Ltd.
$
859,707
706,000
CNOOC,
Ltd.
679,086
375,000
GF
Securities
Company,
Ltd.
477,137
309,000
Great
Wall
Motor
Company,
Ltd.
394,166
32,900
Guangdong
Haid
Group
Company,
Limited
297,047
71,500
Henan
Shuanghui
Investment
&
Development
Company,
Ltd.
557,549
92,382
Hualan
Biological
Engineering,
Inc.
775,355
232,200
Huaxia
Bank
Company,
Ltd.
209,459
2,884,000
Industrial
and
Commercial
Bank
of
China,
Ltd.
1,502,263
283,549
Inner
Mongolia
Eerduosi
Resources
Company,
Ltd.
355,873
34,245
JD.com,
Inc.
ADR
a
2,657,754
158,000
Jiangxi
Copper
Company,
Ltd.
177,666
6,392
Kweichow
Moutai
Company,
Ltd.
1,572,088
15,540
Laobaixing
Pharmacy
Chain
Joint
Stock
Company
189,675
40,600
Livzon
Pharmaceutical
Group,
Inc.
294,418
665,000
Metallurgical
Corporation
of
China,
Ltd.
259,870
18,333
Midea
Group
Company,
Ltd.
196,490
138,778
Ping
An
Insurance
Company
of
China,
Ltd.
1,440,633
1,056,000
Postal
Savings
Bank
of
China
Company,
Ltd.
b
444,854
42,477
S.
F.
Holding
Company,
Ltd.
509,611
80,000
Shandong
Sun
Paper
Industry
Joint
Stock
Company,
Ltd.
166,305
144,000
Shandong
Weigao
Group
Medical
Polymer
Company,
Ltd.
288,118
8,500
Shanghai
Haohai
Biological
Technology
Company,
Ltd.
b
56,641
124,600
Shanghai
Pharmaceuticals
Holding
Company,
Ltd.
208,986
51,200
Shenzhou
International
Group
Holdings,
Ltd.
871,879
455,600
Sinopharm
Group
Company,
Ltd.
962,775
391,000
Tong
Ren
Tang
Technologies
Company,
Ltd.
248,673
82,000
Tsingtao
Brewery
Company,
Ltd.
670,999
55,340
Winning
Health
Technology
Group
Company,
Ltd.
158,747
21,700
Wuliangye
Yibin
Company,
Ltd.
707,469
8,671
WuXi
AppTec
Company,
Ltd.
129,905
628,600
Xiamen
C&D,
Inc.
793,457
13,860
Zhejiang
Dingli
Machinery
Company,
Ltd.
202,477
828,000
Zijin
Mining
Group
Company,
Ltd.
529,297
276,200
Zoomlion
Heavy
Industry
Science
and
Technology
Company,
Ltd.
a
330,214
Total
46,845,913
Colombia
(<0.1%)
3,034
Bancolombia
SA
ADR
77,519
1,172
Ecopetrol
SA
ADR
11,532
10,026
Interconexion
Electrica
SA
53,392
Total
142,443
Czech
Republic
(<0.1%)
16,199
CEZ
AS
306,301
9,508
Komercni
Banka
AS
a
200,340
27,852
Moneta
Money
Bank
AS
b
63,957
Shares
Common
Stock
(93.5%)
Value
Czech
Republic
(<0.1%)
-
continued
113
Philip
Morris
CR
$
66,941
Total
637,539
Denmark
(2.6%)
1,865
A.P.
Moller
-
Maersk
AS,
Class
B
2,948,344
1,338
Aktieselskabet
Schouw
&
Company
129,488
8,114
ChemoMetec
AS
576,106
21,815
Christian
Hansen
Holding
AS
2,421,596
26,854
Coloplast
AS
4,256,065
36,261
DSV
AS
5,881,650
243,152
Novo
Nordisk
AS
16,846,686
79,823
Novozymes
AS
5,017,066
9,428
Per
Aarsleff
Holding
AS
395,499
2,654
Ringkjoebing
Landbobank
AS
201,456
34,410
Scandinavian
Tobacco
Group
AS
b
509,618
5,877
SimCorp
AS
770,970
26,664
Topdanmark
AS
1,290,669
Total
41,245,213
Egypt
(<0.1%)
102,055
Commercial
International
Bank
Egypt
SAE
GDR
437,445
394,775
EFG
Hermes
Holding
Company
a
343,921
Total
781,366
Finland
(0.5%)
150,102
Kesko
Oyj
3,867,399
27,164
Raisio
Oyj
97,935
20,898
Rovio
Entertainment
Oyj
b
149,747
17,846
Stora
Enso
Oyj
279,328
18,602
Tokmanni
Group
Corporation
328,459
17,826
UPM-Kymmene
Oyj
542,572
40,615
Uponor
Oyj
709,648
104,005
Valmet
Oyj
2,565,521
Total
8,540,609
France
(5.4%)
63,692
Air
Liquide
SA
10,095,859
9,615
Albioma
SA
499,973
1,371
Alten
SA
a
129,881
3,143
BNP
Paribas
SA
a
113,697
215,739
CGG
SA
a
143,886
14,431
Cie
Generale
des
Etablissements
Michelin
1,549,142
75,316
CNP
Assurances
a
944,561
120,381
Coface
SA
a
842,036
46,021
Credit
Agricole
SA
a
401,531
75,847
Derichebourg
224,062
84,632
Elior
Participations
SCA
b
392,940
18,867
Elis
SA
a
238,176
3,132
Gaztransport
Et
Technigaz
SA
298,678
7,825
Hermes
International
6,739,343
6,088
Ipsos
SA
152,202
8,370
Jacquet
Metal
Service
81,452
14,355
Kaufman
&
Broad
SA
570,200
207,342
Legrand
SA
16,574,524
17,210
L'Oreal
SA
5,600,667
25,033
LVMH
Moet
Hennessy
Louis
Vuitton
SE
11,713,026
31,183
Metropole
Television
SA
a
372,295
16,518
Nexans
SA
a
954,296
21,738
Quadient
SAS
294,384
24,280
Renault
SA
a
629,848
227,638
Rexel
SA
a
2,854,149
51,108
Sanofi
5,121,656
83,379
Schneider
Electric
SE
10,363,979
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
126
Shares
Common
Stock
(93.5%)
Value
France
(5.4%)
-
continued
1,560
Sopra
Group
SA
a
$
247,306
202,755
Total
SE
6,963,165
1,086
Trigano
167,704
4,663
Vallourec
SA
a,c
92,442
616
Vicat
SA
20,620
24,196
Vinci
SA
2,021,747
Total
87,409,427
Germany
(4.7%)
5,293
Adidas
AG
a
1,709,343
11,353
ADVA
Optical
Networking
SE
a
80,389
58,515
Allianz
SE
11,230,838
102,156
Alstria
Office
REIT
AG
1,420,514
799
Amadeus
Fire
AG
a
99,121
30,393
Aurubis
AG
2,067,653
30,528
Bayer
AG
1,883,397
7,513
Bechtle
AG
1,520,215
26,785
Daimler
AG
1,444,928
80,861
Deutsche
Boerse
AG
14,176,659
248,985
Deutsche
Pfandbriefbank
AG
a,b
1,650,760
17,582
Deutsche
Post
AG
797,798
324,567
Deutsche
Telekom
AG
5,404,086
42,155
Dialog
Semiconductor
plc
a
1,837,325
23,458
Eckert
&
Ziegler
Strahlen-
und
Medizintechnik
AG
1,200,252
884
ELMOS
Semiconductor
AG
21,536
25,079
Gerresheimer
AG
2,806,616
30,152
Hamburger
Hafen
und
Logistik
AG
526,271
5,322
Hornbach
Baumarkt
AG
282,664
1,512
Hornbach
Holding
AG
&
Company
KGaA
176,566
28,584
Jungheinrich
AG
984,085
3,823
Muenchener
Rueckversicherungs-
Gesellschaft
AG
971,879
2,012
New
Work
SE
614,515
33,473
SAP
SE
5,212,385
11,287
Siltronic
AG
1,011,225
45,047
Software
AG
2,222,483
1,225
STO
SE
&
Company
162,872
54,451
Symrise
AG
7,520,953
165,365
TAG
Immobilien
AG
4,986,422
51,049
Takkt
AG
a
636,833
2,741
Wacker
Chemie
AG
266,004
3,302
zooplus
AG
a
614,012
Total
75,540,599
Greece
(0.1%)
1,925
Athens
Water
Supply
and
Sewerage
Company
SA
15,054
26,794
Hellenic
Telecommunications
Organization
SA
385,896
1,249
Jumbo
SA
21,868
10,948
Motor
Oil
(Hellas)
Diilistiria
Korinthou
AE
128,944
49,310
Mytilineos
SA
528,307
5,456
OPAP
SA
51,739
445
Piraeus
Port
Authority
SA
8,715
1,460
Sarantis
SA
14,618
3,413
Terna
Energy
SA
45,618
Total
1,200,759
Hong
Kong
(1.1%)
540,671
AIA
Group,
Ltd.
5,374,322
1,187,000
CITIC
Telecom
International
Holdings,
Ltd.
379,706
1,323,000
CITIC,
Ltd.
980,972
Shares
Common
Stock
(93.5%)
Value
Hong
Kong
(1.1%)
-
continued
53,500
CK
Hutchison
Holdings,
Ltd.
$
324,197
158,400
CSPC
Pharmaceutical
Group,
Ltd.
309,204
212,000
Far
East
Horizon,
Ltd.
173,005
405,000
Galaxy
Entertainment
Group,
Ltd.
2,738,083
294,778
Hang
Lung
Group,
Ltd.
673,589
40,500
Hong
Kong
Exchanges
&
Clearing,
Ltd.
1,906,476
130,000
Luk
Fook
Holdings
International,
Ltd.
315,186
1,675,200
Man
Wah
Holdings,
Ltd.
2,243,681
30,000
Melco
International
Development,
Ltd.
52,864
257,000
Shanghai
Industrial
Holdings,
Ltd.
343,836
289,000
Sun
Hung
Kai
&
Company,
Ltd.
113,153
540,000
United
Laboratories
International
Holdings
558,487
2,588,000
Yuexiu
Property
Company,
Ltd.
508,047
Total
16,994,808
Hungary
(<0.1%)
5,256
Magyar
Telekom
Telecommunications
plc
6,145
1,780
OTP
Bank
Nyrt
a
53,576
12,474
Richter
Gedeon
Nyrt
263,304
Total
323,025
India
(1.2%)
8,245
Alembic
Pharmaceuticals,
Ltd.
105,055
80,518
Amara
Raja
Batteries,
Ltd.
835,240
1,907
APL
Apollo
Tubes,
Ltd.
a
75,538
10,607
Asian
Paints,
Ltd.
285,801
28,083
Bajaj
Auto,
Ltd.
1,097,819
48,870
Cipla,
Ltd.
513,568
5,478
Divi's
Laboratories,
Ltd.
226,793
2,928
Dr.
Lal
PathLabs,
Ltd.
b
74,781
2,135
Dr.
Reddy's
Laboratories,
Ltd.
ADR
148,511
1,430
Endurance
Technologies,
Ltd.
b
22,355
49,754
Glenmark
Pharmaceuticals,
Ltd.
326,167
46,110
Granules
India,
Ltd.
240,576
16,246
Greaves
Cotton,
Ltd.
a
16,615
191,299
HCL
Technologies,
Ltd.
2,109,092
58,728
Heidelberg
Cement
India,
Ltd.
148,663
27,440
Hero
Motocorp,
Ltd.
1,171,233
15,335
Hindustan
Unilever,
Ltd.
430,955
9,368
Housing
Development
Finance
Corporation
222,047
153,620
Infosys,
Ltd.
ADR
2,121,492
23,546
InterGlobe
Aviation,
Ltd.
a,b
397,310
104,427
Jindal
Saw,
Ltd.
89,395
19,777
Mindtree,
Ltd.
359,416
9,410
Multi
Commodity
Exchange
of
India,
Ltd.
220,629
283,350
Oil
and
Natural
Gas
Corporation,
Ltd.
266,627
10,935
Persistent
Systems,
Ltd.
199,032
31,254
PNB
Housing
Finance,
Ltd.
a,b
143,984
9,806
Polycab
India,
Ltd.
109,351
82,246
Reliance
Industries,
Ltd.
2,494,350
24,378
Syngene
International,
Ltd.
a,b
183,380
41,166
Tata
Consultancy
Services,
Ltd.
1,392,746
57,677
Tata
Elxsi,
Ltd.
1,009,564
118,156
Tech
Mahindra,
Ltd.
1,271,658
221,236
Wipro,
Ltd.
ADR
1,039,809
Total
19,349,552
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
127
Shares
Common
Stock
(93.5%)
Value
Indonesia
(0.1%)
1,514,956
Astra
International
Tbk
PT
$
456,140
1,139,200
Industri
Jamu
Dan
Farmasi
Sido
Muncul
Tbk
PT
57,133
2,063,100
Mitra
Adiperkasa
Tbk
PT
a
79,341
22,584
Telekomunikasi
Indonesia
Persero
Tbk
PT
ADR
392,284
Total
984,898
Ireland
(0.1%)
86,724
C
&
C
Group
plc
219,307
112,817
Glanbia
plc
1,164,873
373,233
Greencore
Group
plc
472,314
Total
1,856,494
Isle
of
Man
(<0.1%)
29,600
GVC
Holdings
plc
a
370,719
Total
370,719
Israel
(0.7%)
52,569
First
International
Bank
of
Israel,
Ltd.
1,091,111
2,668,080
Israel
Discount
Bank,
Ltd.
7,197,675
842
Paz
Oil
Company,
Ltd.
66,064
147,770
Plus500,
Ltd.
2,987,074
Total
11,341,924
Italy
(1.7%)
19,281
Amplifon
SPA
a
689,500
288,488
Anima
Holding
SPA
b
1,131,101
15,420
ASTM
SPA
322,616
155,858
Azimut
Holding
SPA
2,814,333
32,676
Banca
Popolare
Di
Sondrio
SCRL
a
68,484
27,147
Biesse
SPA
a
461,729
129,453
Buzzi
Unicem
SPA
3,007,672
6,457
De'Longhi
SPA
a
220,781
368,131
Enel
SPA
3,193,891
130,781
Eni
SPA
1,022,200
67,501
Interpump
Group
SPA
2,503,248
145,125
Intesa
Sanpaolo
SPA
a
273,043
73,918
Italgas
SPA
466,192
13,206
La
Doria
SPA
172,811
879,903
Piaggio
&
C.
SPA
2,377,323
139,440
Recordati
SPA
7,142,859
11,997
Reply
SPA
1,382,730
3,528
Sesa
SPA
a
353,945
17,487
Tinexta
SPA
a
340,311
Total
27,944,769
Japan
(21.0%)
38,500
ABC-MART,
Inc.
2,004,550
189
Activia
Properties,
Inc.
719,795
22,900
Adeka
Corporation
329,785
12,700
Aica
Kogyo
Company,
Ltd.
452,733
43,400
Aichi
Corporation
363,702
29,400
Air
Water,
Inc.
397,626
1,400
Alpen
Company,
Ltd.
26,485
70,100
Alps
Electric
Company,
Ltd.
944,921
17,400
AOKI
Holdings,
Inc.
87,505
35,600
Arcland
Sakamoto
Company,
Ltd.
730,807
4,100
Arcland
Service
Holdings
Company,
Ltd.
82,511
18,300
Arcs
Company,
Ltd.
469,819
5,000
Argo
Graphics,
Inc.
171,768
2,300
AS
ONE
Corporation
329,515
6,000
Asahi
Group
Holdings,
Ltd.
209,116
5,400
Asahi
Intecc
Company,
Ltd.
169,715
Shares
Common
Stock
(93.5%)
Value
Japan
(21.0%)
-
continued
26,100
ASKUL
Corporation
$
1,066,164
130,000
Astellas
Pharmaceutical,
Inc.
1,937,858
23,600
Autobacs
Seven
Company,
Ltd.
307,392
5,900
Avex,
Inc.
55,058
6,700
Azbil
Corporation
251,049
6,200
BayCurrent
Consulting,
Inc.
864,813
4,900
Belc
Company,
Ltd.
362,015
51,000
Bridgestone
Corporation
1,612,067
43,900
Bunka
Shutter
Company,
Ltd.
347,418
7,100
Calbee,
Inc.
233,860
26,200
Canon
Electronics,
Inc.
367,184
4,900
Canon
Marketing
Japan,
Inc.
98,351
3,200
Capcom
Company,
Ltd.
178,587
9,600
Cawachi,
Ltd.
266,641
21,800
Central
Glass
Company,
Ltd.
453,390
2,700
Change,
Inc.
a
216,397
79,000
Chiyoda
Company,
Ltd.
735,968
8,000
Chiyoda
Integre
Company,
Ltd.
124,200
54,600
Chugai
Pharmaceutical
Company,
Ltd.
2,450,201
6,000
Chugoku
Marine
Paints,
Ltd.
56,852
254,226
Citizen
Watch
Company,
Ltd.
a
713,175
9,500
CKD
Corporation
155,991
10,200
Cocokara
Fine,
Inc.
660,128
80,200
Computer
Engineering
&
Consulting,
Ltd.
1,244,307
8,500
CONEXIO
Corporation
95,406
7,900
Cosel
Company,
Ltd.
81,216
18,000
Create
Restaurants
Holdings,
Inc.
a
103,437
6,400
Create
SD
Holdings
Company,
Ltd.
224,547
6,500
Daiichi
Jitsugyo
Company,
Ltd.
229,939
121,200
Daiichi
Sankyo
Company,
Ltd.
3,720,569
28,100
Daiichikosho
Company,
Ltd.
902,500
18,000
Daikin
Industries,
Ltd.
3,325,938
15,900
Daito
Trust
Construction
Company,
Ltd.
1,409,453
55
Daiwa
Office
Investment
Corporation
314,744
1,800
Daiwabo
Holdings
Company,
Ltd.
116,431
200,600
DCM
Holdings
Company,
Ltd.
2,763,876
180,300
Dena
Company,
Ltd.
3,318,206
77,300
Denso
Corporation
3,388,194
30,200
Dexerials
Corporation
318,122
22,900
DIC
Corporation
572,497
16,000
DIP
Corporation
329,603
500
DISCO
Corporation
122,252
12,800
Doshisha
Company,
Ltd.
257,635
39,300
Doutor
Nichires
Holdings
Company,
Ltd.
597,124
27,300
DOWA
Holdings
Company,
Ltd.
801,311
150,422
DTS
Corporation
3,201,181
10,000
Earth
Chemical
Company,
Ltd.
744,828
18,100
Ebara
Corporation
490,801
78,200
EDION
Corporation
819,279
29,900
Eiken
Chemical
Company,
Ltd.
602,309
17,100
Eisai
Company,
Ltd.
1,561,783
4,000
Electric
Power
Development
Company,
Ltd.
61,697
518,300
Eneos
Holdings,
Inc.
1,849,226
34,200
EPS
Holdings,
Inc.
339,130
141,400
Exedy
Corporation
1,841,874
63,500
F@N
Communications,
Inc.
292,013
700
FANUC
Corporation
134,341
4,100
Fast
Retailing
Company,
Ltd.
2,576,528
1,000
FP
Corporation
42,120
88,000
Fuji
Soft,
Inc.
4,537,789
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
128
Shares
Common
Stock
(93.5%)
Value
Japan
(21.0%)
-
continued
4,500
Fujibo
Holdings,
Inc.
$
156,954
17,600
Fujimi
Incorporated
613,680
384
Fukuoka
REIT
Corporation
498,671
4,800
Fuyo
General
Lease
Company,
Ltd.
297,563
60,100
Glory,
Ltd.
1,347,542
94
GLP
J-Reit
144,674
17,100
GMO
Internet,
Inc.
447,993
32,500
Goldcrest
Company,
Ltd.
426,176
209,500
Gree,
Inc.
1,018,375
97,991
GS
Yuasa
Corporation
1,693,342
25,800
Gurunavi,
Inc.
177,141
40,000
H.U.
Group
Holdings,
Inc.
1,070,156
21,600
Hakuhodo
Dy
Holdings,
Inc.
279,317
900
Hamakyorex
Company,
Ltd.
27,359
385
Hankyu
REIT,
Inc.
448,310
116,600
Hanwa
Company,
Ltd.
2,334,033
1,093
Heiwa
Real
Estate
REIT,
Inc.
1,207,614
47,400
Hitachi,
Ltd.
1,604,938
31,100
Hogy
Medical
Company,
Ltd.
1,065,326
192,000
Hokuetsu
Corporation
659,496
11,200
Hokuto
Corporation
238,809
79
Hoshino
Resorts
REIT,
Inc.
398,375
6,400
Hosiden
Corporation
57,868
27,100
Hoya
Corporation
3,060,033
15,200
IBIDEN
Company,
Ltd.
517,972
1,301
Ichigo
Real
Estate
Investment
Corporation
945,773
35,700
INES
Corporation
553,681
3,600
Information
Services
International-
Dentsu,
Ltd.
226,716
338
Invesco
Office
J-Reit,
Inc.
46,824
747
Invincible
Investment
Corporation
223,130
44,800
ITOCHU
Techno-Solutions
Corporation
1,699,508
35,500
Izumi
Company,
Ltd.
1,294,471
1,000
JAC
Recruitment
Company,
Ltd.
12,541
16,600
Japan
Aviation
Electronics
Industry,
Ltd.
229,845
1,166
Japan
Hotel
REIT
Investment
Corporation
576,126
25,700
Japan
Investment
Adviser
Company,
Ltd.
304,195
48,400
Japan
Lifeline
Company,
Ltd.
642,205
199
Japan
Logistics
Fund,
Inc.
570,597
66,600
Japan
Material
Company,
Ltd.
933,794
228,200
Japan
Post
Bank
Company,
Ltd.
1,779,917
179,900
Japan
Post
Holdings
Company,
Ltd.
1,226,748
14
Japan
Prime
Realty
Investment
Corporation
43,437
100,500
Japan
Tobacco,
Inc.
1,833,501
3,700
Justsystems
Corporation
262,073
344,900
JVCKENWOOD
Corporation
480,837
8,800
Kaga
Electronics
Company,
Ltd.
187,786
25,700
Kaken
Pharmaceutical
Company,
Ltd.
1,177,712
83,700
Kamigumi
Company,
Ltd.
1,649,339
575,211
Kandenko
Company,
Ltd.
4,698,502
6,300
Kaneka
Corporation
176,494
9,800
Kanematsu
Electronics,
Ltd.
398,055
34,929
Kao
Corporation
2,622,147
86,100
KDDI
Corporation
2,165,549
610
Kenedix
Retail
REIT
Corporation
1,231,114
20,100
Kewpie
Corporation
413,413
14,300
Keyence
Corporation
6,684,954
76,800
Kinden
Corporation
1,356,385
Shares
Common
Stock
(93.5%)
Value
Japan
(21.0%)
-
continued
17,400
Kintetsu
World
Express,
Inc.
$
370,881
8,200
Kissei
Pharmaceutical
Company,
Ltd.
185,424
2,300
KLab,
Inc.
a
20,667
4,900
Kobayashi
Pharmaceutical
Company,
Ltd.
473,467
13,600
Koei
Tecmo
Holdings
Company,
Ltd.
656,124
66,700
Kohnan
Shoji
Company,
Ltd.
2,598,335
75,400
Kokuyo
Company,
Ltd.
950,427
14,600
KOMEDA
Holdings
Company,
Ltd.
272,552
24,800
KOMERI
Company,
Ltd.
783,832
54,300
Konoike
Transport
Company,
Ltd.
597,627
2,600
Koshidaka
Holdings
Company,
Ltd.
10,647
195,300
K's
Holdings
Corporation
2,643,968
4,900
Kurabo
Industries,
Ltd.
89,790
16,600
Kureha
Corporation
720,310
18,200
Kyokuto
Kaihatsu
Kogyo
Company,
Ltd.
242,333
25,900
KYORIN
Holdings,
Inc.
525,021
1,900
Lasertec
Corporation
156,178
54,100
Lintec
Corporation
1,259,743
9,900
Little
Earth
Corporation
Company,Ltd.
120,806
31,300
M3,
Inc.
1,936,101
47,800
Macnica
Fuji
Electronics
Holdings,
Inc.
876,337
315,700
Marubeni
Corporation
1,792,357
32,100
Matsui
Securities
Company,
Ltd.
288,804
1,000
Max
Company,
Ltd.
15,053
22,300
Maxell
Holdings,
Ltd.
a
230,618
59,900
MCJ
Company,
Ltd.
548,004
31,900
MegaChips
Corporation
872,670
23,400
Meiko
Network
Japan
Company,
Ltd.
163,962
16,200
MEITEC
Corporation
826,194
1,184
MIRAI
Corporation
448,456
39,800
MIRAIT
Holdings
Corporation
611,036
367,800
Mitsubishi
Corporation
8,803,428
107,100
Mitsubishi
Electric
Corporation
1,453,262
4,500
Mitsubishi
Estate
Company,
Ltd.
68,164
7,500
Mitsubishi
Pencil
Company,
Ltd.
97,906
6,600
Mitsubishi
Research
Institute,
Inc.
278,149
11,700
Mitsubishi
Shokuhin
Company,
Ltd.
308,194
863,000
Mitsubishi
UFJ
Financial
Group,
Inc.
3,444,128
24,400
Mitsubishi
UFJ
Lease
&
Finance
Company,
Ltd.
113,371
393,000
Mitsui
&
Company,
Ltd.
6,752,848
30,400
Mitsui
Fudosan
Company,
Ltd.
529,011
9,100
Mitsui
Sugar
Company,
Ltd.
168,663
48,500
Mixi,
Inc.
1,307,673
45,000
Mizuho
Financial
Group,
Inc.
561,675
404
Mori
Trust
Sogo
REIT,
Inc.
511,002
71,100
MS
and
AD
Insurance
Group
Holdings,
Inc.
1,915,663
41,700
Murata
Manufacturing
Company,
Ltd.
2,711,633
22,700
Nagase
&
Company,
Ltd.
317,953
155,900
NEC
Networks
&
System
Integration
Corporation
2,996,773
7,900
NEXT
Co.,Ltd.
33,460
33,700
Nichi-Iko
Pharmaceutical
Company,
Ltd.
383,080
23,600
Nichirei
Corporation
624,116
32,400
Nidec
Corporation
3,038,405
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
129
Shares
Common
Stock
(93.5%)
Value
Japan
(21.0%)
-
continued
20,000
Nihon
Chouzai
Company,
Ltd.
$
323,738
95,700
Nihon
Unisys,
Ltd.
3,019,356
59,200
Nikkon
Holdings
Company,
Ltd.
1,283,379
8,400
Nintendo
Company,
Ltd.
4,760,207
39
Nippon
Building
Fund,
Inc.
220,739
50,900
Nippon
Electric
Glass
Company,
Ltd.
951,208
29,100
Nippon
Flour
Mills
Company,
Ltd.
479,146
29,600
Nippon
Kayaku
Company,
Ltd.
260,879
265,294
Nippon
Light
Metal
Holdings
Company,
Ltd.
4,207,625
20,500
Nippon
Parking
Development
Company,
Ltd.
25,536
255
Nippon
REIT
Investment
Corporation
867,006
54,100
Nippon
Steel
Trading
Corporation
1,545,491
49,600
Nippon
Telegraph
&
Telephone
Corporation
1,012,667
28,700
Nipro
Corporation
335,089
9,300
Nishimatsu
Construction
Company,
Ltd.
184,731
1,000
Nishio
Rent
All
Company,
Ltd.
21,384
140,205
Nissan
Motor
Company,
Ltd.
a
495,849
16,500
Nissha
Company,
Ltd.
205,956
34,800
Nisshin
Oillio
Group,
Ltd.
1,051,069
1,700
Nitta
Corporation
37,616
5,100
Nitto
Kogyo
Corporation
101,343
21,500
Noevir
Holdings
Company,
Ltd.
1,006,298
15,600
Nojima
Corporation
421,002
304
Nomura
Real
Estate
Master
Fund,
Inc.
380,842
4,600
Noritake
Company,
Ltd.
144,885
37,100
NS
Solutions
Corporation
1,143,162
153,200
NSD
Company,
Ltd.
3,009,080
112,900
NTT
DOCOMO,
Inc.
4,148,637
5,400
OBIC
Company,
Ltd.
949,658
12,777
Okinawa
Electric
Power
Company,
Inc.
200,169
15,500
Okuwa
Company,
Ltd.
221,513
79,700
Olympus
Corporation
1,657,421
62
One
REIT,
Inc.
147,162
310,700
Onward
Holdings
Company,
Ltd.
804,916
26,300
Open
House
Company,
Ltd.
952,836
21,400
Oracle
Corporation
Japan
2,310,705
14,100
Oriental
Land
Company,
Ltd.
1,977,458
128,100
ORIX
Corporation
1,600,004
50,200
Otsuka
Corporation
2,565,288
11,200
Paramount
Bed
Holdings
Company,
Ltd.
462,922
14,800
Pasona
Group,
Inc.
225,857
901
Premier
Investment
Corporation
1,048,831
24,100
Prima
Meat
Packers,
Ltd.
743,079
31,400
Rakus
Company,
Ltd.
563,330
92,884
Recruit
Holdings
Company,
Ltd.
3,688,921
6,800
Restar
Holdings
Corporation
140,553
7,200
Ricoh
Leasing
Company,
Ltd.
194,832
46,200
Rinnai
Corporation
4,506,406
219,000
Riso
Kyoiku
Corporation,
Ltd.
601,409
27,300
ROHTO
Pharmaceutical
Company,
Ltd.
897,643
3,000
Ryosan
Company,
Ltd.
60,146
8,000
Ryoyo
Electro
Corporation
222,226
19,500
Saint
Marc
Holdings
Company,
Ltd.
286,355
21,400
Samty
Corporation,
Ltd.
322,722
6,000
SanBio
Company,
Ltd.
a
117,184
19,900
Sangetsu
Company,
Ltd.
306,787
Shares
Common
Stock
(93.5%)
Value
Japan
(21.0%)
-
continued
25,700
Sanki
Engineering
Company,
Ltd.
$
281,711
10,000
Sankyo
Company,
Ltd.
261,855
35,200
Sankyu
Inc.
1,390,077
9,900
Sanwa
Holdings
Corporation
104,973
56,700
Sanyo
Special
Steel
Company,
Ltd.
a
541,824
26,600
Sato
Holdings
Corporation
568,021
74,900
Sawai
Pharmaceutical
Company,
Ltd.
3,779,166
16,900
SBS
Holdings,
Inc.
353,093
43,100
Seiko
Holdings
Corporation
583,111
107,900
Seino
Holdings
Company,
Ltd.
1,565,461
193,100
Senko
Group
Holdings
Company,
Ltd.
1,800,383
34,000
Seven
&
I
Holdings
Company,
Ltd.
1,056,384
43,000
Shimachu
Company,
Ltd.
1,454,556
700
Shindengen
Electric
Manufacturing
Company,
Ltd.
13,383
25,700
Shin-Etsu
Chemical
Company,
Ltd.
3,362,956
41,200
Shinko
Electric
Industries
Company,
Ltd.
721,948
2,100
Shionogi
&
Company,
Ltd.
112,401
17,300
Ship
Healthcare
Holdings,
Inc.
847,135
27,409
Shiseido
Company,
Ltd.
1,586,706
16,800
SHO-BOND
Holdings
Company,
Ltd.
838,335
186,100
SKY
Perfect
JSAT
Holdings,
Inc.
813,328
4,000
SMC
Corporation
2,231,347
285,800
SoftBank
Corporation
3,193,627
85,200
SoftBank
Group
Corporation
5,271,715
794,000
Sojitz
Corporation
c
1,801,921
92,400
Sony
Corporation
7,081,724
593
Star
Asia
Investment
Corporation
REIT
247,298
700
Starts
Corporation,
Inc.
15,368
6,900
Strike
Company,
Ltd.
405,480
26,800
Sugi
Holdings
Company,
Ltd.
1,894,863
70,000
Sumitomo
Chemical
Company,
Ltd.
231,698
166,000
Sumitomo
Corporation
2,001,046
399,100
Sumitomo
Electric
Industries,
Ltd.
4,492,798
80,800
Sumitomo
Mitsui
Financial
Group,
Inc.
2,259,233
1,200
Sumitomo
Osaka
Cement
Company,
Ltd.
38,804
218,300
Sumitomo
Rubber
Industries,
Ltd.
2,027,820
49,200
Sumitomo
Warehouse
Company,
Ltd.
623,830
71,802
Sundrug
Company,
Ltd.
2,706,572
23,500
Taiho
Kogyo
Company,
Ltd.
126,080
10,300
Taiko
Pharmaceutical
Company,
Ltd.
221,072
4,000
Taisei
Corporation
135,388
154,000
Takara
Leben
Company,
Ltd.
456,337
59,300
Takasago
Thermal
Engineering
Company,
Ltd.
851,686
179,800
Takeda
Pharmaceutical
Company,
Ltd.
6,426,580
18,500
TANSEISHA
Company,
Ltd.
125,107
46,300
Terumo
Corporation
1,843,421
11,300
T-GAIA
Corporation
212,663
69,300
TIS,
Inc.
1,471,930
1,600
Toa
Corporation
25,702
7,500
Toho
Company,
Ltd.
309,215
8,600
Toho
Holdings
Company,
Ltd.
185,454
44,400
Tokio
Marine
Holdings,
Inc.
1,942,703
12,600
Tokyo
Electron,
Ltd.
3,291,809
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
130
Shares
Common
Stock
(93.5%)
Value
Japan
(21.0%)
-
continued
15,900
Tokyo
Ohka
Kogyo
Company,
Ltd.
$
823,276
2,900
Tokyo
Seimitsu
Company,
Ltd.
92,372
139
Tokyu
REIT,
Inc.
194,437
19,000
Topre
Corporation
205,140
293,400
Toray
Industries,
Inc.
1,342,307
18,900
Tosei
Corporation
175,941
8,600
Toshiba
Machine
Company,
Ltd.
178,484
17,300
Tosho
Company,
Ltd.
213,002
38,800
Towa
Pharmaceutical
Company,
Ltd.
778,682
1,400
Toyo
Ink
SC
Holdings
Company,
Ltd.
26,813
101,400
Toyo
Seikan
Group
Holdings,
Ltd.
1,003,096
29,800
Toyo
Tanso
Company,
Ltd.
502,848
83,200
Toyota
Motor
Corporation
5,521,985
29,600
Transcosmos,
Inc.
808,168
1,000
Trusco
Nakayama
Corporation
25,318
63,000
Tsubakimoto
Chain
Company
1,482,083
30,600
Tsukui
Corporation
171,856
4,400
Tsumura
&
Company
137,122
258,100
TV
Asahi
Holdings
Corporation
4,098,757
8,900
UACJ
Corporation
146,879
94,700
Ube
Industries,
Ltd.
1,599,223
3,300
ULVAC,
Inc.
120,253
153
United
Urban
Investment
Corporation
170,252
6,100
UNITED,
Inc.
85,297
35,400
Universal
Entertainment
Corporation
a
647,033
68,500
USS
Company,
Ltd.
1,225,697
30,000
Valor
Company,
Ltd.
830,281
39,200
Wakita
&
Company,
Ltd.
393,287
5,700
World
Holdings
Company,
Ltd.
113,515
900
YAOKO
Company,
Ltd.
66,841
33,900
Yellow
Hat,
Ltd.
566,764
23,800
Zenkoku
Hosho
Company,
Ltd.
940,560
16,100
Zenrin
Company,
Ltd.
173,404
23,400
ZIGExN
Company,
Ltd.
76,973
400
Zuken,
Inc.
10,830
Total
339,038,812
Jersey
(0.4%)
574,530
boohoo
group
plc
a
2,773,672
62,760
Experian
plc
2,358,179
1,178,317
Man
Group
plc
1,746,738
10,583
Polymetal
International
plc
231,481
15,278
Sanne
Group
PLC
129,394
Total
7,239,464
Luxembourg
(0.4%)
29,275
APERAM
823,719
685,394
B&M
European
Value
Retail
SA
4,369,543
7,457
Reinet
Investments
SCA
129,329
8,665
Subsea
7
SA
a
62,279
192,885
Tenaris
SA
ADR
1,899,917
Total
7,284,787
Malaysia
(0.1%)
11,800
AEON
Credit
Service
(M)
Berhad
29,545
154,227
Berjaya
Sports
Toto
Berhad
76,234
46,500
Bursa
Malaysia
Berhad
95,058
45,700
Hartalega
Holdings
Berhad
178,993
153,800
PETRONAS
Chemicals
Group
Berhad
208,387
52,100
PETRONAS
Gas
Berhad
206,592
87,400
Public
Bank
Berhad
330,561
Shares
Common
Stock
(93.5%)
Value
Malaysia
(0.1%)
-
continued
550,600
Serba
Dinamik
Holdings
Berhad
$
218,386
20,500
TIME
dotCom
Berhad
59,244
256,300
V.S.
Industry
Berhad
140,878
104,700
Yinson
Holdings
Berhad
141,262
Total
1,685,140
Mexico
(0.2%)
19,397
America
Movil
SAB
de
CV
ADR
242,269
27,800
Arca
Continental
SAB
de
CV
119,830
35,300
Becle,
SAB
de
CV
71,777
2,414
Coca-Cola
FEMSA
SAB
de
CV
ADR
98,298
93,200
Corporacion
Inmobiliaria
Vesta,
SAB
de
CV
140,022
4,881
Fomento
Economico
Mexicano
SAB
de
CV
ADR
274,263
7,755
Gruma,
SAB
de
CV
85,822
4,390
Grupo
Aeroportuario
del
Sureste,
SAB
de
CV
a
50,945
44,100
Grupo
Bimbo
SAB
de
CV
82,051
122,433
Grupo
Financiero
Banorte
SAB
de
CV
ADR
a
422,977
40,600
Grupo
Financiero
Inbursa,
SAB
de
CV
a
31,380
99,500
Grupo
Mexico,
SAB
de
CV
253,255
9,215
Industrias
Penoles,
SAB
de
CV
148,547
26,800
Kimberly-Clark
de
Mexico
SAB
de
CV
42,349
13,700
Megacable
Holdings
SAB
de
CV
39,672
455,700
Wal-Mart
de
Mexico,
SAB
de
CV
1,090,432
Total
3,193,889
Netherlands
(4.7%)
167,624
Aalberts
NV
6,027,729
123,197
ABN
AMRO
Group
NV
b
1,029,874
53,540
ASM
International
NV
7,674,623
41,618
ASML
Holding
NV
15,372,657
80,364
BE
Semiconductor
Industries
NV
3,445,373
4,764
Corbion
NV
219,077
40,065
Euronext
NV
b
5,018,818
7,007
Ferrari
NV
1,285,925
31,772
Flow
Traders
b
1,269,686
6,974
IMCD
NV
829,456
56,191
ING
Groep
NV
a
401,030
60,192
Koninklijke
DSM
NV
9,909,564
197,403
Koninklijke
Philips
NV
a
9,321,253
32,168
NN
Group
NV
1,205,784
3,836
NSI
NV
134,917
717,521
PostNL
NV
a
2,178,358
28,515
SBM
Offshore
NV
454,864
125,692
Signify
NV
a,b
4,649,003
17,373
TKH
Group
NV
633,834
76,089
Unilever
NV
4,620,711
Total
75,682,536
New
Zealand
(<0.1%)
260,851
Z
Energy,
Ltd.
475,418
Total
475,418
Norway
(1.5%)
19,857
Atea
ASA
244,659
80,944
Austevoll
Seafood
ASA
674,179
6,005
Borregaard
ASA
92,268
596,890
DnB
ASA
a
8,315,048
392,638
Elkem
ASA
b
837,196
289,813
Entra
ASA
b,c
4,072,728
92,253
Equinor
ASA
1,307,010
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
131
Shares
Common
Stock
(93.5%)
Value
Norway
(1.5%)
-
continued
271,773
Europris
ASA
b
$
1,393,292
4,277
Fjordkraft
Holding
ASA
b
41,528
166,995
Leroy
Seafood
Group
ASA
958,945
117,932
Orkla
ASA
1,190,226
36,889
SalMar
ASA
a
2,090,625
13,950
Scatec
Solar
ASA
b
322,172
34,530
SpareBank
1
SMN
312,137
36,701
Veidekke
ASA
a
472,448
39,375
Yara
International
ASA
1,515,141
Total
23,839,602
Panama
(<0.1%)
36,985
Avianca
Holdings
SA
ADR
a,d
16,643
Total
16,643
Peru
(<0.1%)
35,686
Cia
de
Minas
Buenaventura
SA
ADR
436,083
Total
436,083
Philippines
(<0.1%)
4,860
Globe
Telecom,
Inc.
208,461
62,060
Jollibee
Foods
Corporation
186,049
31,760
Manila
Electric
Company
178,059
216,000
Puregold
Price
Club,
Inc.
218,907
Total
791,476
Poland
(0.2%)
48,358
Asseco
Poland
SA
869,400
781
Bank
Handlowy
w
Warszawie
SA
a
7,416
6,227
Bank
Pekao
SA
a
81,114
3,281
CD
Projekt
SA
a
355,260
19,069
Cyfrowy
Polsat
SA
a
133,461
1,229
Dino
Polska
SA
a,b
72,297
22,471
Jastrzebska
Spolka
Weglowa
SA
a
149,773
9,204
KGHM
Polska
Miedz
SA
a
281,660
14
LPP
SA
a
23,792
23,273
Polski
Koncern
Naftowy
Orlen
SA
276,207
32,814
Powszechna
Kasa
Oszczednosci
Bank
Polski
SA
a
180,097
4,914
Santander
Bank
Polska
SA
a
181,197
214
TEN
Square
Games
SA
31,838
Total
2,643,512
Portugal
(<0.1%)
75,870
CTT-Correios
de
Portugal
SA
a
224,244
Total
224,244
Russian
Federation
(0.5%)
56,180
Aeroflot
PJSC
a
53,392
803,300
Credit
Bank
of
Moscow
PJSC
a
60,609
80,584
Gazprom
PJSC
ADR
350,697
1,668,000
Inter
Rao
UES
PJSC
120,221
10,407
Lukoil
ADR
601,326
35,630
M.Video
PJSC
311,212
12,788
Magnit
OJSC
GDR
190,630
9,400
Mechel
PJSC
ADR
a
14,194
1,401
MMC
Norilsk
Nickel
PJSC
ADR
33,796
27,732
Mobile
TeleSystems
PJSC
ADR
242,101
136,020
Moscow
Exchange
MICEX-RTS
PJSC
256,003
3,214
Novatek
PJSC
GDR
439,947
2,480
Novolipetsk
Steel
OJSC
GDR
54,909
338
PAO
Transneft
a
641,837
5,701
PhosAgro
OAO
GDR
68,530
113,760
PJSC
Rostelecom
143,952
Shares
Common
Stock
(93.5%)
Value
Russian
Federation
(0.5%)
-
continued
677
Polyus
PJSC
GDR
$
71,324
138,119
Rosneft
Oil
Company
PJSC
GDR
678,470
691,190
Sberbank
of
Russia
PJSC
a
2,021,943
25,150
Severstal
PJSC
320,531
1,308,500
Surgutneftegas
PJSC
660,980
95,516
Surgutneftegas
PJSC
ADR
420,591
801,000
Unipro
PJSC
28,596
Total
7,785,791
Saudi
Arabia
(0.2%)
6,126
Advanced
Petrochemical
Company
96,706
7,143
Al
Rajhi
Bank
125,198
12,056
Arab
National
Bank
65,433
8,008
Arabian
Cement
Company
69,386
14,709
Arriyadh
Development
Company
65,645
8,704
Banque
Saudi
Fransi
75,231
6,051
Dur
Hospitality
Company
50,221
11,462
Eastern
Province
Cement
Company
107,673
6,125
Jarir
Marketing
Company
306,639
3,628
Leejam
Sports
Company
JSC
69,157
41,665
National
Commercial
Bank
413,881
34,196
National
Industrialization
Company
a
121,289
6,747
National
Medical
Care
Company
99,487
3,034
Qassim
Cement
Company
60,107
49,760
Riyad
Bank
247,991
23,669
Sahara
International
Petrochemical
Company
104,426
4,585
Saudi
Arabian
Mining
Company
a
51,268
45,025
Saudi
Arabian
Oil
Company
b
431,201
30,184
Saudi
British
Bank
203,849
24,013
Saudi
Industrial
Investment
Group
Company
149,233
20,922
Seera
Holding
Group
a
106,576
4,327
Southern
Province
Cement
Company
79,596
7,089
United
Electronics
Company
131,826
10,239
United
International
Transportation
Company
92,844
Total
3,324,863
Singapore
(0.6%)
328,836
AEM
Holdings,
Ltd.
937,708
811,500
Ascendas
REIT
1,941,865
144,300
China
Aviation
Oil
(Singapore)
Corporation,
Ltd.
98,946
4,256
China
Yuchai
International,
Ltd.
76,608
238,900
DBS
Group
Holdings,
Ltd.
3,512,153
369,200
Frasers
Logistics
and
Commercial
Trust
378,028
457,000
Keppel
DC
REIT
976,806
151,500
Parkway
Life
REIT
a
461,666
185,900
Singapore
Exchange,
Ltd.
1,253,834
287,300
Singapore
Post,
Ltd.
136,409
568,200
Yanlord
Land
Group,
Ltd.
472,868
Total
10,246,891
South
Africa
(0.5%)
86,279
AECI,
Ltd.
395,390
5,302
African
Rainbow
Minerals,
Ltd.
61,207
2,442
Anglo
American
Platinum,
Ltd.
169,072
9,341
AngloGold
Ashanti,
Ltd.
ADR
246,416
8,949
Aspen
Pharmacare
Holdings,
Ltd.
a
63,888
11,869
AVI,
Ltd.
52,656
59,248
Barloworld,
Ltd.
216,573
3,860
Bid
Corporation,
Ltd.
59,387
1,215
Capitec
Bank
Holdings,
Ltd.
74,833
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
132
Shares
Common
Stock
(93.5%)
Value
South
Africa
(0.5%)
-
continued
6,359
Clicks
Group,
Ltd.
$
84,406
96,965
DataTec,
Ltd.
a
127,762
2,851
Drdgold,
Ltd.
3,358
42,870
FirstRand,
Ltd.
105,198
3,398
Gold
Fields,
Ltd.
ADR
41,761
13,454
Impala
Platinum
Holdings,
Ltd.
116,898
73,825
Investec,
Ltd.
138,571
8,051
Kumba
Iron
Ore,
Ltd.
237,829
259,716
Momentum
Metropolitan
Holdings
240,334
22,243
Motus
Holdings,
Ltd.
a
57,095
35,465
MTN
Group,
Ltd.
118,990
21,115
MultiChoice
Group,
Ltd.
121,970
16,997
Naspers,
Ltd.
a
3,002,077
117,244
Ninety
One,
Ltd.
a
308,963
12,559
Pick
n
Pay
Stores,
Ltd.
35,202
13,356
Sasol,
Ltd.
a
102,692
15,201
Shoprite
Holdings,
Ltd.
124,013
94,363
Sibanye
Stillwater,
Ltd.
261,893
13,242
Spar
Group,
Ltd.
149,931
30,320
Standard
Bank
Group
194,738
9,690
Tiger
Brands,
Ltd.
110,362
38,041
Vodacom
Group
278,966
Total
7,302,431
South
Korea
(1.4%)
3,041
Binggrae
Company,
Ltd.
153,844
24,643
Cheil
Worldwide,
Inc.
441,427
2,268
Chong
Kun
Dang
Pharmaceutical
Corporation
321,073
2,761
Daishin
Securities
Company,
Ltd.
23,003
3,951
Daou
Technology,
Inc.
72,314
4,675
DB
HiTek
Company,
Ltd.
149,779
5,963
DongKook
Pharmaceutical
Company,
Ltd.
139,524
22,812
Dongkuk
Steel
Mill
Corporation,
Ltd.
a
123,689
30,463
Hancom,
Inc.
a
492,659
3,351
Handsome
Corporation
86,429
2,503
Hansol
Chemical
Company,
Ltd.
320,526
4,536
Hansol
Paper
Company,
Ltd.
54,029
8,742
Hanwha
Corporation
187,964
24,108
Hanwha
Investment
&
Securities
Corporation,
Ltd.
a
35,747
331,561
Hanwha
Life
Insurance
Corporation,
Ltd.
432,501
1,919
Hyundai
Department
Store
Company,
Ltd.
92,269
1,086
Hyundai
Motor
Company
165,420
8,333
Hyundai
Steel
Company
175,123
35,162
JB
Financial
Group
Corporation,
Ltd.
135,521
454
Kakao
Corporation
141,173
4,915
KEPCO
Plant
Service
&
Engineering
Company,
Ltd.
113,731
29,509
Kia
Motors
Corporation
1,183,368
2,807
Korea
Zinc
Company,
Ltd.
905,939
1,696
LG
Chem,
Ltd.
946,656
5,902
LG
Electronics,
Inc.
462,321
397
LG
Household
&
Health
Care,
Ltd.
489,920
16,532
LG
International
Corporation
217,926
7,526
LS
Electric
Company,
Ltd.
363,791
4,048
NAVER
Corporation
1,028,683
2,049
NCSoft
Corporation
1,412,034
1,223
OptoElectronics
Solutions
Company,
Ltd.
58,592
11,065
Poongsan
Corporation
224,579
Shares
Common
Stock
(93.5%)
Value
South
Korea
(1.4%)
-
continued
5,305
POSCO
$
888,130
10,050
Samsung
Card
Corporation,
Ltd.
242,645
2,395
Samsung
Electro-Mechanics
Company,
Ltd.
283,830
164,035
Samsung
Electronics
Company,
Ltd.
8,143,380
21,907
Samsung
Securities
Corporation,
Ltd.
572,472
4,480
SeAH
Besteel
Corporation
37,417
7,263
Sillicon
Works
Company,
Ltd.
279,332
1,582
SK
Holdings
Company,
Ltd
267,111
11,759
SK
Hynix,
Inc.
842,918
559
Soulbrain
Company,
Ltd.
a
103,579
431
Taekwang
Industrial
Corporation,
Ltd.
239,654
2,237
Taeyoung
Engineering
&
Construction
18,900
2,157
Ty
Holdings
Company,
Ltd.
a
45,095
Total
23,116,017
Spain
(1.3%)
62,605
Acerinox
SA
a
513,329
144,444
Applus
Services
SA
a
1,080,479
426,861
Banco
Bilbao
Vizcaya
Argentaria
SA
1,184,947
1,051,482
Banco
de
Sabadell
SA
364,952
792,919
Banco
Santander
SA
1,479,003
163,349
CIA
De
Distribucion
Integral
2,788,341
148,835
Enagas
SA
3,434,110
111,092
Faes
Farma
SA
447,131
5,494
Fluidra
SA
a
92,779
28,492
Global
Dominion
Access
SA
b
116,252
76,724
Grifols
SA
2,206,221
113,006
Iberdrola
SA
1,390,952
48,431
Industria
de
Diseno
Textil
SA
1,339,822
8,997
Let's
GOWEX
SA
a,d,e
1
605,090
Mediaset
Espana
Comunicacion
SA
a
2,240,970
164,379
Merlin
Properties
Socimi
SA
1,371,106
27,143
Repsol
SA
183,369
38,525
Solaria
Energia
y
Medio
Ambiente
SA
a
729,119
Total
20,962,883
Sweden
(3.3%)
126,397
AB
Industrivarden
a
3,361,363
4,817
AF
Poyry
AB
a
136,080
14,250
Alfa
Laval
AB
a
314,562
166,506
Arjo
AB
1,030,919
277,099
Assa
Abloy
AB
6,478,607
173,598
Betsson
AB
1,330,706
29,044
Bilia
AB
a
365,066
5,195
BillerudKorsnas
AB
86,920
65,570
Biotage
AB
a
1,298,097
5,454
Bure
Equity
AB
171,466
157,403
Castellum
AB
3,575,297
16,885
Clas
Ohlson
AB
171,530
577,844
Cloetta
AB
a
1,672,935
75,008
Dios
Fastigheter
AB
530,490
31,084
Dometic
Group
AB
a,b
383,780
61,064
Dustin
Group
AB
b
383,705
22,488
Evolution
Gaming
Group
AB
b
1,485,853
13,143
Fortnox
AB
396,234
117,574
Getinge
AB
2,558,277
68,944
Granges
AB
a
615,371
424,630
Hexpol
AB
a
3,798,366
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
133
Shares
Common
Stock
(93.5%)
Value
Sweden
(3.3%)
-
continued
108,903
Holmen
AB
$
4,040,842
118,033
Husqvarna
AB
1,297,911
83,141
Inwido
AB
a
845,026
416,683
Kungsleden
AB
3,944,407
6,867
L
E
Lundbergforetagen
AB
a
339,292
72,805
LeoVegas
AB
b
307,764
9,621
Lifco
AB
744,161
70,362
Lindab
International
AB
1,222,682
20,612
Loomis
AB
a
563,871
11,428
Lundin
Energy
AB
226,627
90,333
Nobia
AB
a
604,038
89,288
Nobina
AB
a,b
586,959
26,293
Nolato
AB
a
2,550,774
40,601
Pandox
AB
a
465,462
11,199
Paradox
Interactive
AB
379,693
28,755
Resurs
Holding
AB
b
148,694
121,148
SKF
AB
2,499,352
89,075
Svenska
Handelsbanken
AB
a
745,270
34,217
Thule
Group
AB
b
1,129,145
26,328
Wihlborgs
Fastigheter
AB
519,912
Total
53,307,506
Switzerland
(10.6%)
2,399
Allreal
Holding
AG
516,873
7,491
ALSO
Holding
AG
a
1,983,834
3,213
Bachem
Holding
AG
1,363,591
33,295
Baloise
Holding
AG
4,901,839
94
Belimo
Holding
AG
709,702
2,712
Bucher
Industries
AG
1,033,046
6,853
EMS-CHEMIE
Holding
AG
c
6,157,183
144,661
Ferrexpo
plc
329,430
76
Forbo
Holding
AG
124,700
66,923
Galenica
AG
b
4,653,608
13,207
Geberit
AG
7,813,585
1,638
Givaudan
SA
7,072,574
275
Gurit
Holding
AG
585,566
19,114
Huber
&
Suhner
AG
1,439,407
420
Interroll
Holding
AG
1,062,297
20,715
Kuehne
&
Nagel
International
AG
4,022,303
306
Lindt
&
Spruengli
AG
2,582,938
77,750
Logitech
International
SA
6,022,681
248,571
Nestle
SA
29,582,942
166,578
Novartis
AG
14,463,022
88,210
PSP
Swiss
Property
AG
10,655,836
72,555
Roche
Holding
AG
24,853,030
6,455
Roche
Holding
AG-BR
2,219,930
10,019
Schindler
Holding
AG,
Participation
Certificate
2,734,990
24
Schweiter
Technologies
AG
33,457
2,703
Siegfried
Holding
AG
1,848,599
33,270
Sika
AG
8,169,509
22,891
Sonova
Holding
AG
a
5,800,927
638
Straumann
Holding
AG
645,402
17,674
Swiss
Life
Holding
AG
6,687,693
20,745
Tecan
Group
AG
10,316,812
424
Valiant
Holding
AG
35,666
1,452
Zehnder
Group
AG
70,227
Total
170,493,199
Taiwan
(1.9%)
80,000
Accton
Technology
Corporation
618,935
160,000
Capital
Securities
Corporation
59,715
65,000
Cheng
Loong
Corporation
71,108
4,012,000
China
Development
Financial
Holding
Corporation
1,186,700
101,000
Chipbond
Technology
Corporation
222,592
Shares
Common
Stock
(93.5%)
Value
Taiwan
(1.9%)
-
continued
123,000
Compeq
Manufacturing
Company,
Ltd.
$
175,092
1,192,000
CTBC
Financial
Holding
Company,
Ltd.
761,571
252,000
Delta
Electronics,
Inc.
1,654,744
42,000
Feng
Hsin
Iron
&
Steel
Company,
Ltd.
81,306
1,177,000
Fubon
Financial
Holding
Company,
Ltd.
1,712,670
159,000
Goldsun
Building
Materials
Company,
Ltd.
129,783
23,000
Greatek
Electronics,
Inc.
39,191
663,000
Hon
Hai
Precision
Industry
Company,
Ltd.
1,782,483
90,000
Huaku
Development
Company,
Ltd.
269,088
562,566
IBF
Financial
Holdings
Company,
Ltd.
229,392
79,000
Makalot
Industrial
Company,
Ltd.
469,376
32,000
MediaTek,
Inc.
678,047
72,000
Merry
Electronics
Company,
Ltd.
370,133
58,000
Namchow
Holdings
Company,
Ltd.
84,575
34,000
Novatek
Microelectronics
Corporation
313,625
38,000
Realtek
Semiconductor
Corporation
487,097
255,000
SerComm
Corporation
640,602
766,000
Shinkong
Synthetic
Fibers
Corporation
291,201
500,645
Sigurd
Microelectronics
Corporation
657,170
101,000
Sinbon
Electronics
Company,
Ltd.
628,781
73,000
Sitronix
Technology
Corporation
332,211
174,000
Sunonwealth
Electric
Machine
Industry
Company,
Ltd.
375,734
131,000
Syncmold
Enterprise
Corporation
381,963
134,000
Synnex
Technology
International
Corporation
192,013
118,000
Systex
Corporation
336,704
893,148
Taichung
Commercial
Bank
Company,
Ltd.
331,202
13,475
Taiwan
Hon
Chuan
Enterprise
Company,
Ltd.
25,700
831,515
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
12,509,377
30,000
Taiwan
Surface
Mounting
Technology
Corporation
108,706
153,000
TECO
Electric
&
Machinery
Company,
Ltd.
158,030
187,000
Topco
Scientific
Company,
Ltd.
741,580
79,000
Transcend
Information,
Inc.
171,973
320,000
TXC
Corporation
802,789
58,000
Uni-President
Enterprises
Corporation
125,614
1,196,000
United
Microelectronics
Corporation
1,179,708
148,000
YFY,
Inc.
88,303
Total
31,476,584
Thailand
(0.1%)
44,600
Advanced
Info
Service
Public
Company,
Ltd.
NVDR
241,621
208,400
Airports
of
Thailand
Public
Company,
Ltd.
NVDR
373,395
253,100
Com7
Public
Company,
Ltd.
NVDR
316,467
19,900
Hana
Microelectronics
Public
Company,
Ltd.
NVDR
27,457
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
134
Shares
Common
Stock
(93.5%)
Value
Thailand
(0.1%)
-
continued
232,700
Intouch
Holdings
Public
Company,
Ltd.
NVDR
$
377,720
222,400
Major
Cineplex
Group
Public
Company,
Ltd.
NVDR
108,876
267,700
Ratchthani
Leasing
Public
Company,
Ltd.
34,271
420,500
Thai
Vegetable
Oil
Public
Company,
Ltd.
NVDR
435,622
Total
1,915,429
Turkey
(0.1%)
14,192
BIM
Birlesik
Magazalar
AS
127,248
161,643
Eregli
Demir
ve
Celik
Fabrikalari
TAS
198,126
171,778
Haci
Omer
Sabanci
Holding
AS
184,545
8,057
Koza
Altin
Isletmeleri
AS
a
81,477
42,183
Koza
Anadolu
Metal
Madencilik
Isletmeleri
AS
a
69,131
12,705
Migros
Ticaret
AS
a
67,780
85,629
TAV
Havalimanlari
Holding
AS
169,814
5,494
Turkcell
Iletisim
Hizmetleri
AS
ADR
26,316
95,166
Turkiye
Is
Bankasi
AS
a
65,885
11,863
Vestel
Elektronik
Sanayi
ve
Ticaret
AS
a
26,602
Total
1,016,924
United
Kingdom
(8.2%)
97,511
Assura
plc
97,062
17,860
AstraZeneca
plc
1,951,472
420,957
Auto
Trader
Group
plc
b
3,056,333
172,100
Aviva
plc
636,728
22,742
Bellway
plc
689,297
57,217
BHP
Group
plc
1,220,682
84,976
BP
plc
245,750
63,283
Brewin
Dolphin
Holdings
plc
190,521
125,560
British
American
Tobacco
plc
4,504,023
55,581
Bunzl
plc
1,794,520
60,709
Carnival
plc
772,352
24,111
Central
Asia
Metals
plc
50,078
557,234
Cineworld
Group
plc
c
291,399
39,542
Computacenter
plc
1,207,440
81,961
Croda
International
plc
6,611,477
40,594
Dechra
Pharmaceuticals
plc
1,687,900
5,313
Derwent
London
plc
175,911
40,982
Diageo
plc
1,407,686
30,803
Diploma
plc
873,405
1,028,064
Direct
Line
Insurance
Group
plc
3,585,606
49,937
Diversified
Gas
&
Oil
plc
67,605
33,987
Dunelm
Group
plc
611,968
124,141
G4S
plc
a
320,188
16,385
Games
Workshop
Group
plc
2,149,738
627,604
GlaxoSmithKline
plc
11,766,063
74,828
Greggs
plc
a
1,133,935
259,822
Halma
plc
7,849,744
40,108
Hays
plc
58,202
52,493
HomeServe
plc
836,469
125,678
Howden
Joinery
Group
plc
956,553
1,340,062
HSBC
Holdings
plc
5,242,693
287,117
IG
Group
Holdings
plc
2,932,900
72,579
IMI
plc
979,072
204,893
Inchcape
plc
a
1,161,905
1,752,917
ITV
plc
1,528,122
18,677
Jet2
plc
161,697
293,532
John
Wood
Group
plc
a
805,916
101,775
Jupiter
Fund
Management
plc
293,818
29,640
Kainos
Group
plc
379,794
Shares
Common
Stock
(93.5%)
Value
United
Kingdom
(8.2%)
-
continued
100,902
KAZ
Minerals
plc
$
682,256
1,968,184
Lloyds
TSB
Group
plc
a
668,166
82,537
Marshalls
plc
694,170
1,721,443
Moneysupermarket.com
Group
plc
5,933,874
8,055
Morgan
Sindall
Group
plc
118,238
407,672
National
Express
Group
plc
a
801,280
5,889
Ninety
One
plc
a
15,441
47,634
PageGroup
plc
a
229,629
264,237
Paragon
Banking
Group
plc
1,132,848
49,566
Playtech
plc
a
231,412
133,213
Redrow
plc
a
693,118
352,042
RELX
plc
7,835,813
100,916
Rightmove
plc
815,846
70,841
Rio
Tinto
plc
4,262,699
151,175
Rotork
plc
548,106
436,801
Royal
Dutch
Shell
plc,
Class
A
5,452,760
482,181
Royal
Dutch
Shell
plc,
Class
B
5,847,462
42,357
RWS
Holdings
plc
308,345
129,308
Safestore
Holdings
plc
1,298,660
726,295
Sage
Group
plc
6,749,624
4,204
Savills
plc
a
42,255
21,855
Softcat
plc
339,834
22,456
Spectris
plc
705,008
25,832
Spirax-Sarco
Engineering
plc
3,678,540
314,522
Spirent
Communications
plc
1,156,596
46,928
St.
James's
Place
plc
564,565
273,879
Tate
&
Lyle
plc
2,350,478
758,241
Tullow
Oil
plc
a
148,355
125,166
Unilever
plc
7,716,924
61,763
UNITE
Group
plc
a
667,827
Total
131,976,153
United
States
(0.1%)
34,116
Yum
China
Holding,
Inc.
1,806,442
Total
1,806,442
Total
Common
Stock
(cost
$1,388,134,568)
1,510,500,171
Shares
Collateral
Held
for
Securities
Loaned
(
0.8%
)
12,458,109
Thrivent
Cash
Management
Trust
12,458,109
Total
Collateral
Held
for
Securities
Loaned
(cost
$12,458,109)
12,458,109
Shares
Preferred
Stock
(
<0.1%
)
Brazil
(<0.1%)
23,500
Bradespar
SA
188,598
Total
188,598
South
Korea
(0.1%)
43,235
Samsung
Electronics
Company,
Ltd.
1,860,878
Total
1,860,878
Total
Preferred
Stock
(cost
$885,535)
2,049,476
Principal
Amount
Long-Term
Fixed
Income
(
<0.1%
)
Venezuela
(<0.1%)
Petroleos
de
Venezuela
SA
$
11,370,000
6.000%,
10/28/2022
f
284,250
7,010,000
6.000%,
5/16/2024
f
175,250
1,326,000
6.000%,
11/15/2026
f
33,150
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
135
Principal
Amount
Long-Term
Fixed
Income
(<0.1%)
Value
Venezuela
(<0.1%)
-
continued
$
1,410,000
5.375%,
4/12/2027
f
$
35,250
210,000
5.500%,
4/12/2037
f
5,250
Total
533,150
Total
Long-Term
Fixed
Income
(cost
$7,583,707)
533,150
Shares
or
Principal
Amount
Short-Term
Investments
(
6.0%
)
Federal
Home
Loan
Bank
Discount
Notes
5,700,000
0.060%,
10/7/2020
g,h
5,699,943
3,400,000
0.068%,
10/14/2020
g,h
3,399,926
200,000
0.075%,
10/22/2020
g,h
199,993
500,000
0.080%,
10/28/2020
g,h
499,978
300,000
0.065%,
11/4/2020
g,h
299,980
1,500,000
0.090%,
11/6/2020
g,h
1,499,895
1,300,000
0.060%,
11/10/2020
g,h
1,299,899
3,500,000
0.080%,
11/12/2020
g,h
3,499,714
2,900,000
0.070%,
11/18/2020
g,h
2,899,730
3,000,000
0.070%,
11/19/2020
g,h
2,999,714
2,800,000
0.075%,
12/22/2020
g,h
2,799,426
8,000,000
0.092%,
12/28/2020
g,h
7,998,240
100,000
0.100%,
1/20/2021
g,h
99,972
Thrivent
Core
Short-Term
Reserve
Fund
6,346,871
0.310%
63,468,706
Total
Short-Term
Investments
(cost
$96,547,072)
96,665,116
Total
Investments
(cost
$1,505,608,991)
100.4%
$1,622,206,022
Other
Assets
and
Liabilities,
Net
(0.4%)
(6,413,819)
Total
Net
Assets
100.0%
$1,615,792,203
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$40,864,456
or
2.5%
of
total
net
assets.
c
All
or
a
portion
of
the
security
is
on
loan.
d
In
bankruptcy. Interest
is
being
accrued
per
the
bankruptcy
agreement
terms.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
f
Defaulted
security. Interest
is
not
being
accrued.
g
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
h
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
International
Allocation
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
11,834,886
Total
lending
$11,834,886
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$12,458,109
Net
amounts
due
to
counterparty
$623,223
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
NVDR
-
Non-Voting
Depository
Receipts
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
136
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
International
Allocation
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
81,665,751
2,738,776
78,926,974
1
Consumer
Discretionary
194,675,852
26,118,955
168,556,897
–
Consumer
Staples
106,541,443
708,035
105,833,408
–
Energy
42,469,864
2,679,937
39,789,927
–
Financials
216,489,821
1,539,214
214,950,607
–
Health
Care
194,761,607
148,511
194,613,096
–
Industrials
235,105,178
221,245
234,883,933
–
Information
Technology
192,579,880
6,896,367
185,683,513
–
Materials
146,921,760
1,426,771
145,494,989
–
Real
Estate
78,238,231
–
78,238,231
–
Utilities
21,050,784
79,681
20,971,103
–
Preferred
Stock
Financials
188,598
–
188,598
–
Information
Technology
1,860,878
–
1,860,878
–
Long-Term
Fixed
Income
Energy
533,150
–
533,150
–
Short-Term
Investments
33,196,410
–
33,196,410
–
Subtotal
Investments
in
Securities
$1,546,279,207
$42,557,492
$1,503,721,714
$1
Other
Investments *
Total
Affiliated
Short-Term
Investments
63,468,706
Collateral
Held
for
Securities
Loaned
12,458,109
Subtotal
Other
Investments
$75,926,815
Total
Investments
at
Value
$1,622,206,022
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
2,411
2,411
–
–
Total
Asset
Derivatives
$2,411
$2,411
$–
$–
Liability
Derivatives
Futures
Contracts
6,229,069
6,229,069
–
–
Total
Liability
Derivatives
$6,229,069
$6,229,069
$–
$–
International
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
137
Reference
Description:
ASX
-
Australian
Securities
Exchange
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
FTSE
-
Financial
Times
Stock
Exchange
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
SFE
-
Sydney
Futures
Exchange
TSE
-
Tokyo
Stock
Exchange
The
following
table
presents
International
Allocation
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$33,250,376
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CME
Euro
Foreign
Exchange
Currency
627
December
2020
$
92,615,907
(
$
638,925)
Eurex
Euro
STOXX
50
Index
2,529
December
2020
98,209,747
(
3,918,204)
FTSE
100
Index
1
December
2020
77,588
(
2,366)
ICE
mini
MSCI
EAFE
Index
617
December
2020
58,750,418
(
1,579,199)
SFE
S&P
ASX
Share
Price
Index
200
1
December
2020
105,461
(
1,569)
TSE
Tokyo
Price
Index
1
December
2020
151,716
2,411
Total
Futures
Long
Contracts
$
249,910,837
(
$
6,137,852)
ICE
US
mini
MSCI
Emerging
Markets
Index
(1,637)
December
2020
(
$
89,004,919)
(
$
88,806)
Total
Futures
Short
Contracts
(
$
89,004,919)
($88,806)
Total
Futures
Contracts
$
160,905,918
($6,226,658)
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
International
Allocation
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$242,400
$286,357
$465,309
$63,469
6,347
3.9%
Total
Affiliated
Short-Term
Investments
242,400
63,469
3.9
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
12,877
132,269
132,688
12,458
12,458
0.8
Total
Collateral
Held
for
Securities
Loaned
12,877
12,458
0.8
Total
Value
$255,277
$75,927
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(97)
$118
–
$1,326
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1,326
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
89
Total
Affiliated
Income
from
Securities
Loaned,
Net
$89
Total
Value
$(97)
$118
$–
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
138
Shares
Common
Stock
(
96.2%
)
Value
Australia
(6.3%)
1,791
Afterpay
,
Ltd.
a
$
105,570
5,253
AGL
Energy,
Ltd.
51,292
28,815
AMP,
Ltd.
27,134
2,094
Ampol
,
Ltd.
36,140
9,893
APA
Group
73,542
4,819
Aristocrat
Leisure,
Ltd.
105,095
1,623
ASX,
Ltd.
94,890
16,375
Aurizon
Holdings,
Ltd.
50,376
15,624
AusNet
Services,
Ltd.
21,091
23,780
Australia
and
New
Zealand
Banking
Group,
Ltd.
296,680
24,700
BHP
Group,
Ltd.
638,090
4,239
BlueScope
Steel,
Ltd.
39,057
12,725
Brambles,
Ltd.
96,622
814
CIMIC
Group,
Ltd.
a
10,903
4,249
Coca-Cola
Amatil,
Ltd.
29,084
551
Cochlear,
Ltd.
78,721
11,185
Coles
Group,
Ltd.
136,264
14,843
Commonwealth
Bank
of
Australia
683,020
4,082
Computershare,
Ltd.
36,112
3,123
Crown
Resorts,
Ltd.
19,839
3,806
CSL,
Ltd.
786,194
9,193
DEXUS
Property
Group
58,880
13,576
Evolution
Mining,
Ltd.
56,713
14,199
Fortescue
Metals
Group,
Ltd.
166,810
13,798
Goodman
Group
178,649
16,333
GPT
Group
45,948
19,377
Insurance
Australia
Group,
Ltd.
61,317
5,546
Lendlease
Corporation,
Ltd.
44,304
2,823
Macquarie
Group,
Ltd.
244,710
1,070
Magellan
Financial
Group,
Ltd.
44,131
23,091
Medibank
Private,
Ltd.
41,665
32,985
Mirvac
Group
51,707
26,799
National
Australia
Bank,
Ltd.
344,285
6,774
Newcrest
Mining,
Ltd.
153,607
6,205
Northern
Star
Resources,
Ltd.
61,486
3,392
Orica,
Ltd.
37,766
14,767
Origin
Energy,
Ltd.
45,732
7,656
Qantas
Airways,
Ltd.
a
22,452
12,319
QBE
Insurance
Group,
Ltd.
76,625
1,535
Ramsay
Health
Care,
Ltd.
73,187
442
REA
Group,
Ltd.
35,196
3,113
Rio
Tinto,
Ltd.
212,622
14,846
Santos,
Ltd.
52,492
43,925
Scentre
Group
69,935
2,804
SEEK,
Ltd.
43,256
3,784
Sonic
Healthcare,
Ltd.
89,859
41,083
South32,
Ltd.
60,970
19,992
Stockland
54,615
10,573
Suncorp
Group,
Ltd.
64,543
11,087
Sydney
Airport,
Ltd.
47,081
18,524
Tabcorp
Holdings,
Ltd.
44,608
34,902
Telstra
Corporation,
Ltd.
69,882
3,112
TPG
Telecom,
Ltd.
a
16,422
22,932
Transurban
Group
234,156
6,037
Treasury
Wine
Estates,
Ltd.
38,789
32,532
Vicinity
Centres
32,487
903
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
15,339
9,507
Wesfarmers,
Ltd.
303,885
30,283
Westpac
Banking
Corporation
368,220
1,201
Wisetech
Global,
Ltd.
22,495
8,002
Woodside
Petroleum,
Ltd.
101,562
10,575
Woolworths,
Ltd.
276,522
Total
7,480,626
Shares
Common
Stock
(96.2%)
Value
Austria
(0.1%)
610
Andritz
AG
$
18,828
2,342
Erste
Group
Bank
AG
a
49,043
1,235
OMV
AG
a
33,791
1,241
Raiffeisen
Bank
International
AG
a
18,995
571
Verbund
AG
31,184
973
Voestalpine
AG
25,644
Total
177,485
Belgium
(0.9%)
1,468
Ageas
SA
NV
60,069
6,389
Anheuser-Busch
InBev
NV
343,989
464
Colruyt
SA
a
30,112
259
Elia
System
Operator
SA
25,892
352
Galapagos
NV
a
49,903
946
Groupe
Bruxelles
Lambert
SA
85,284
2,095
KBC
Groep
NV
105,057
1,275
Proximus
SA
23,260
129
Sofina
SA
35,218
621
Solvay
SA
53,427
384
Telenet
Group
Holding
NV
14,905
1,060
UCB
SA
120,389
1,653
Umicore
SA
68,756
Total
1,016,261
Bermuda
(0.2%)
5,500
CK
Infrastructure
Holdings,
Ltd.
25,811
2,800
Dairy
Farm
International
Holdings,
Ltd.
10,583
9,800
Hongkong
Land
Holdings,
Ltd.
36,511
1,800
Jardine
Matheson
Holdings,
Ltd.
71,424
1,900
Jardine
Strategic
Holdings,
Ltd.
37,671
3,888
Pacific
Century
Premium
Developments,
Ltd.
a
1,025
Total
183,025
Cayman
Islands
(0.4%)
2,600
ASM
Pacific
Technology,
Ltd.
26,617
337
BeiGene
,
Ltd.
ADR
a
96,530
14,400
Budweiser
Brewing
Company
APAC,
Ltd.
b
42,118
1,832
Melco
Resorts
&
Entertainment.
Ltd.
ADR
30,503
6,000
MicroPort
Scientific
Corporation
23,993
20,400
Sands
China,
Ltd.
79,075
80,500
WH
Group,
Ltd.
b
65,664
14,000
Wharf
Real
Estate
Investment
Company,
Ltd.
57,387
13,200
Wynn
Macau,
Ltd.
a
21,183
Total
443,070
Denmark
(2.4%)
27
A.P.
Moller
-
Maersk
AS,
Class
A
39,522
55
A.P.
Moller
-
Maersk
AS,
Class
B
86,949
1,369
Ambu
AS
38,550
864
Carlsberg
AS
116,400
884
Christian
Hansen
Holding
AS
98,129
996
Coloplast
AS
157,855
5,783
Danske
Bank
AS
a
78,221
925
Demant
AS
a
29,009
1,736
DSV
AS
281,585
546
Genmab
AS
a
198,146
1,074
GN
Store
Nord
AS
80,912
584
H.
Lundbeck
AS
19,235
14,438
Novo
Nordisk
AS
1,000,331
1,745
Novozymes
AS
109,678
1,586
Orsted
AS
b
218,647
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
139
Shares
Common
Stock
(96.2%)
Value
Denmark
(2.4%)
-
continued
838
Pandora
AS
$
60,451
1,013
TRYG
AS
31,892
1,651
Vestas
Wind
Systems
AS
266,812
Total
2,912,324
Finland
(1.2%)
1,193
Elisa
Oyj
70,138
3,724
Fortum
Oyj
75,293
2,850
KONE
Oyj
250,241
3,547
Neste
Oil
Oyj
186,785
47,406
Nokia
Oyj
a
185,542
27,166
Nordea
Bank
Abp
a
206,427
882
Orion
Oyj
39,961
3,949
Sampo
Oyj
156,393
4,878
Stora
Enso
Oyj
76,351
4,475
UPM-
Kymmene
Oyj
136,206
3,721
Wartsila
Corporation
29,222
Total
1,412,559
France
(9.6%)
1,589
Accor
SA
a
44,476
249
Aeroports
de
Paris
SA
24,702
3,967
Air
Liquide
SA
628,812
1,611
Alstom
SA
a
80,475
509
Amundi
SA
a,b
35,877
578
Arkema
SA
61,282
824
AtoS
a
66,214
16,217
AXA
SA
300,146
347
bioMerieux
54,316
9,431
BNP
Paribas
SA
a
341,164
7,399
Bollore
SA
27,560
1,911
Bouygues
SA
66,037
2,463
Bureau
Veritas
SA
a
55,520
1,349
Capgemini
SA
173,072
5,076
Carrefour
SA
81,110
1,423
Cie
Generale
des
Etablissements
Michelin
152,756
1,439
CNP
Assurances
a
18,047
4,339
Compagnie
de
Saint-
Gobain
a
181,749
436
Covivio
30,615
9,675
Credit
Agricole
SA
a
84,414
5,178
Danone
SA
335,407
21
Dassault
Aviation
a
17,715
1,108
Dassault
Systemes
SE
206,734
2,042
Edenred
91,679
710
Eiffage
SA
a
57,947
5,205
Electricite
de
France
54,983
15,314
Engie
a
204,650
2,385
EssilorLuxottica
a
324,687
330
Eurazeo
SE
a
17,866
637
Faurecia
a
27,458
384
Gecina
SA
50,621
3,689
Groupe
Eurotunnel
SA
a
49,973
266
Hermes
International
229,095
250
ICADE
14,008
124
Iliad
SA
22,746
508
Ingenico
Group
a
78,706
316
Ipsen
SA
33,033
714
JCDecaux
SA
a
12,344
635
Kering
SA
421,225
1,650
Klepierre
SA
23,097
721
La
Francaise
des
Jeux
SAEM
b
26,451
2,238
Legrand
SA
178,901
2,110
L'Oreal
SA
686,659
2,329
LVMH
Moet
Hennessy
Louis
Vuitton
SE
1,089,747
Shares
Common
Stock
(96.2%)
Value
France
(9.6%)
-
continued
7,931
Natixis
a
$
17,823
16,728
Orange
SA
174,232
433
Orpea
a
49,197
1,780
Pernod-Ricard
SA
283,798
4,931
Peugeot
SA
a
89,421
1,814
Publicis
Groupe
SA
58,465
189
Remy
Cointreau
SA
34,499
189
Remy
Cointreau
SA,
DRIP
a,c
0
1,612
Renault
SA
a
41,817
2,687
Safran
SA
a
264,368
9,479
Sanofi
949,914
232
Sartorius
Stedim
Biotech
80,078
4,636
Schneider
Electric
SE
576,253
1,329
SCOR
SE
a
37,002
190
SEB
SA
30,908
6,797
Societe
Generale
a
90,224
742
Sodexo
SA
52,893
2,898
SUEZ
53,547
492
Teleperformance
SA
151,685
893
Thales
SA
66,929
20,725
Total
SE
711,754
759
UbiSoft
Entertainment
SA
a
68,408
1,920
Valeo
SA
58,960
4,519
Veolia
Environnement
SA
97,503
4,320
Vinci
SA
360,966
6,953
Vivendi
SA
194,191
225
Wendel
SA
20,410
1,150
Worldline
SA
a,b
94,166
Total
11,473,487
Germany
(8.8%)
1,596
Adidas
AG
a
515,419
3,498
Allianz
SE
671,374
7,701
BASF
SE
468,963
8,237
Bayer
AG
508,174
2,776
Bayerische
Motoren
Werke
AG
201,475
845
Beiersdorf
AG
95,940
1,295
Brenntag
AG
82,339
337
Carl
Zeiss
Meditec
AG
42,564
8,400
Commerzbank
AG
a
41,309
922
Continental
AG
99,916
1,458
Covestro
AG
b
72,303
7,176
Daimler
AG
387,112
1,083
Delivery
Hero
AG
a,b
124,263
16,463
Deutsche
Bank
AG
a
138,774
1,593
Deutsche
Boerse
AG
279,287
2,504
Deutsche
Lufthansa
AG
a
21,689
8,294
Deutsche
Post
AG
376,347
27,946
Deutsche
Telekom
AG
465,305
2,865
Deutsche
Wohnen
AG
143,191
18,825
E.ON
SE
207,498
1,758
Evonik
Industries
AG
45,478
349
Fraport
AG
Frankfurt
Airport
Services
Worldwide
a
13,741
1,787
Fresenius
Medical
Care
AG
&
Company
KGaA
151,068
3,505
Fresenius
SE
&
Company
KGaA
159,389
583
Fuchs
Petrolub
SE
29,643
1,286
GEA
Group
AG
45,059
506
Hannover
Rueckversicherung
SE
78,335
1,248
HeidelbergCement
AG
76,261
871
Henkel
AG
&
Company
KGaA
81,463
207
Hochtief
AG
16,069
10,489
Infineon
Technologies
AG
295,643
545
Kion
Group
AG
46,537
608
Knorr-
Bremse
AG
71,600
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
140
Shares
Common
Stock
(96.2%)
Value
Germany
(8.8%)
-
continued
697
Lanxess
AG
$
39,880
596
LEG
Immobilien
AG
84,954
1,084
Merck
KGaA
158,040
1,510
METRO
AG
15,038
445
MTU
Aero
Engines
AG
73,768
1,175
Muenchener
Rueckversicherungs-
Gesellschaft
AG
298,707
484
Nemetschek
SE
35,376
1,284
Porsche
Automobil
Holding
SE
a
76,388
696
PUMA
SE
a
62,568
5,382
RWE
AG
201,554
8,756
SAP
SE
1,363,476
298
Sartorius
Aktiengesellschaft
122,143
902
Scout24
AG
b
78,679
6,414
Siemens
AG
810,023
3,207
Siemens
Energy
AG
*,
a,c
86,482
2,253
Siemens
Healthineers
AG
b
101,134
1,079
Symrise
AG
149,035
1,090
TeamViewer
AG
a,b
53,759
8,731
Telefonica
Deutschland
Holding
AG
22,314
3,393
ThyssenKrupp
AG
a
17,073
1,688
Uniper
SE
54,487
895
United
Internet
AG
34,228
272
Volkswagen
AG
a
47,542
4,319
Vonovia
SE
296,082
1,272
Zalando
SE
a,b
118,844
Total
10,455,102
Hong
Kong
(2.7%)
101,400
AIA
Group,
Ltd.
1,007,926
11,000
Bank
of
East
Asia,
Ltd.
20,307
31,000
BOC
Hong
Kong
(Holdings),
Ltd.
82,180
21,500
CK
Asset
Holdings,
Ltd.
105,645
22,500
CK
Hutchison
Holdings,
Ltd.
136,345
14,000
CLP
Holdings,
Ltd.
130,722
18,000
Galaxy
Entertainment
Group,
Ltd.
121,692
17,000
Hang
Lung
Properties,
Ltd.
43,326
6,400
Hang
Seng
Bank,
Ltd.
94,815
12,000
Henderson
Land
Development
Company,
Ltd.
44,557
22,000
HK
Electric
Investments,
Ltd.
22,745
32,000
HKT
Trust
and
HKT,
Ltd.
42,474
89,250
Hong
Kong
and
China
Gas
Company,
Ltd.
129,594
10,100
Hong
Kong
Exchanges
&
Clearing,
Ltd.
475,442
5,500
Kerry
Properties,
Ltd.
14,145
17,300
Link
REIT
141,763
13,000
MTR
Corporation,
Ltd.
64,518
13,000
New
World
Development
Company,
Ltd.
63,462
36,000
PCCW,
Ltd.
21,536
11,500
Power
Assets
Holdings,
Ltd.
60,614
26,000
Sino
Land
Company,
Ltd.
30,438
17,000
SJM
Holdings,
Ltd.
20,153
11,000
Sun
Hung
Kai
Properties,
Ltd.
141,752
4,000
Swire
Pacific,
Ltd.
19,366
9,800
Swire
Properties,
Ltd.
25,966
11,500
Techtronic
Industries
Company,
Ltd.
152,901
Total
3,214,384
Ireland
(0.8%)
6,584
CRH
plc
238,746
825
DCC
plc
63,866
1,293
Flutter
Entertainment
plc
a
205,211
Shares
Common
Stock
(96.2%)
Value
Ireland
(0.8%)
-
continued
3,714
James
Hardie
Industries
plc
$
89,031
1,332
Kerry
Group
plc
170,611
1,290
Kingspan
Group
plc
a
117,398
1,895
Smurfit
Kappa
Group
plc
74,357
Total
959,220
Isle
of
Man
(0.1%)
4,886
GVC
Holdings
plc
a
61,194
Total
61,194
Israel
(0.6%)
356
Azrieli
Group,
Ltd.
15,894
9,516
Bank
Hapoalim
,
Ltd.
50,844
12,295
Bank
Leumi
Le-Israel
BM
54,127
959
Check
Point
Software
Technologies,
Ltd.
a
115,406
318
CyberArk
Software,
Ltd.
a
32,888
222
Elbit
Systems,
Ltd.
26,948
5,905
Israel
Chemicals,
Ltd.
20,866
9,760
Israel
Discount
Bank,
Ltd.
26,329
1,182
Mizrahi
Tefahot
Bank,
Ltd.
20,966
521
Nice,
Ltd.
a
118,123
9,164
Teva
Pharmaceutical
Industries,
Ltd.
ADR
a
82,567
429
Wix.com,
Ltd.
a
109,331
Total
674,289
Italy
(1.8%)
9,213
Assicurazioni
Generali
SPA
129,852
4,154
Atlantia
SpA
a
65,057
4,870
Davide
Campari-Milano
NV
53,154
211
DiaSorin
SPA
42,452
68,195
Enel
SPA
591,657
21,330
Eni
SPA
166,718
5,109
Finecobank
Banca
Fineco
SPA
a
70,370
2,012
Infrastrutture
Wireless
Italiane
SPA
b
22,197
138,509
Intesa
Sanpaolo
SPA
a
260,595
3,393
Leonardo
SPA
19,818
5,207
Mediobanca
SPA
40,802
1,624
Moncler
SPA
a
66,457
3,158
Nexi
Spa
a,b
63,294
3,354
Pirelli
&
C.
SPA
a,b
14,371
4,381
Poste
Italiane
SPA
b
38,824
2,023
Prysmian
SPA
58,723
877
Recordati
SPA
44,924
17,079
Snam
SPA
87,834
70,110
Telecom
Italia
SPA
28,101
50,541
Telecom
Italia
SPA
Savings
Shares
20,407
11,797
Terna
Rete
Elettrica
Nazionale
SPA
82,542
17,790
UniCredit
SPA
a
146,986
Total
2,115,135
Japan
(25.0%)
300
ABC-MART,
Inc.
15,620
3,300
ACOM
Company,
Ltd.
14,355
1,700
Advantest
Corporation
82,689
5,500
Aeon
Company,
Ltd.
147,955
900
AEON
Mall
Company,
Ltd.
12,651
1,600
AGC,
Inc.
47,023
1,500
Air
Water,
Inc.
20,287
1,400
Aisin
Seiki
Company,
Ltd.
44,792
3,900
Ajinomoto
Company,
Inc.
79,931
1,600
Alfresca
Holdings
Corporation
35,044
1,000
All
Nippon
Airways
Company,
Ltd.
a
23,131
2,800
Amada
Holdings
Company,
Ltd.
26,193
1,000
Aozora
Bank,
Ltd.
16,604
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
141
Shares
Common
Stock
(96.2%)
Value
Japan
(25.0%)
-
continued
3,807
Asahi
Group
Holdings,
Ltd.
$
132,684
1,600
Asahi
Intecc
Company,
Ltd.
50,286
10,500
Asahi
Kasei
Corporation
91,598
7,900
Ashikaga
Holdings
Company,
Ltd.
17,927
15,600
Astellas
Pharmaceutical,
Inc.
232,543
1,700
Bandai
Namco
Holdings,
Inc.
124,559
500
Bank
of
Kyoto,
Ltd.
24,175
600
Benesse
Holdings,
Inc.
15,443
4,500
Bridgestone
Corporation
142,241
1,900
Brother
Industries,
Ltd.
30,224
700
Calbee
,
Inc.
23,057
8,400
Canon,
Inc.
139,327
1,600
Casio
Computer
Company,
Ltd.
25,908
1,200
Central
Japan
Railway
Company
172,008
400
Century
Tokyo
Leasing
Corporation
21,802
4,400
Chiba
Bank,
Ltd.
24,278
5,400
Chubu
Electric
Power
Company,
Inc.
65,683
5,600
Chugai
Pharmaceutical
Company,
Ltd.
251,303
2,400
Chugoku
Electric
Power
Company,
Inc.
30,007
1,000
Coca-Cola
Bottlers
Japan,
Inc.
16,740
8,600
Concordia
Financial
Group,
Ltd.
29,912
200
COSMOS
Pharmaceutical
Corporation
34,854
800
CyberAgent
,
Inc.
49,401
2,000
Dai
Nippon
Printing
Company,
Ltd.
40,539
2,100
Daicel
Corporation
15,136
800
Daifuku
Company,
Ltd.
80,750
9,000
Dai-Ichi
Mutual
Life
Insurance
Company,
Ltd.,
The
126,993
14,400
Daiichi
Sankyo
Company,
Ltd.
442,048
2,100
Daikin
Industries,
Ltd.
388,026
500
Daito
Trust
Construction
Company,
Ltd.
44,322
4,700
Daiwa
House
Industry
Company,
Ltd.
120,542
17
Daiwa
House
REIT
Investment
Corporation
43,379
12,100
Daiwa
Securities
Group,
Inc.
50,892
3,600
Denso
Corporation
157,794
1,800
Dentsu
Group,
Inc.
53,130
200
DISCO
Corporation
48,901
2,500
East
Japan
Railway
Company
153,747
2,100
Eisai
Company,
Ltd.
191,798
1,200
Electric
Power
Development
Company,
Ltd.
18,509
25,700
Eneos
Holdings,
Inc.
91,694
1,500
FamilyMart
Company,
Ltd.
33,803
1,600
FANUC
Corporation
307,065
500
Fast
Retailing
Company,
Ltd.
314,211
1,100
Fuji
Electric
Company,
Ltd.
34,871
3,000
FUJIFILM
Holdings
NPV
147,876
1,600
Fujitsu,
Ltd.
218,588
1,400
Fukuoka
Financial
Group,
Inc.
23,531
31
GLP
J-
Reit
47,712
300
GMO
Payment
Gateway,
Inc.
32,137
2,000
Hakuhodo
Dy
Holdings,
Inc.
25,863
1,200
Hamamatsu
Photonics
KK
60,644
1,900
Hankyu
Hanshin
Holdings,
Inc.
61,083
200
Hikari
Tsushin,
Inc.
47,718
2,400
Hino
Motors,
Ltd.
15,573
300
Hirose
Electric
Company,
Ltd.
38,762
400
Hisamitsu
Pharmaceutical
Company,
Inc.
20,450
Shares
Common
Stock
(96.2%)
Value
Japan
(25.0%)
-
continued
900
Hitachi
Construction
Machinery
Company,
Ltd.
$
32,614
1,800
Hitachi
Metals,
Ltd.
27,756
8,100
Hitachi,
Ltd.
274,262
13,700
Honda
Motor
Company,
Ltd.
325,338
400
Hoshizaki
Corporation
31,919
3,200
Hoya
Corporation
361,332
2,500
Hulic
Company,
Ltd.
23,458
1,600
Idemitsu
Kosan
Company,
Ltd.
34,162
1,200
Iida
Group
Holdings
Company,
Ltd.
24,288
8,600
Inpex
Corporation
46,149
2,800
Isetan
Mitsukoshi
Holdings,
Ltd.
14,865
4,600
Isuzu
Motors,
Ltd.
40,231
400
ITO
EN,
Ltd.
28,527
11,300
ITOCHU
Corporation
289,346
800
ITOCHU
Techno-Solutions
Corporation
30,348
900
Japan
Airlines
Company,
Ltd.
a
16,787
400
Japan
Airport
Terminal
Company,
Ltd.
17,721
4,300
Japan
Exchange
Group,
Inc.
120,522
3,400
Japan
Post
Bank
Company,
Ltd.
26,519
13,200
Japan
Post
Holdings
Company,
Ltd.
90,012
1,900
Japan
Post
Insurance
Company,
Ltd.
29,916
7
Japan
Prime
Realty
Investment
Corporation
21,718
11
Japan
Real
Estate
Investment
Corporation
56,238
22
Japan
Retail
Fund
Investment
Corporation
34,034
10,100
Japan
Tobacco,
Inc.
184,262
4,100
JFE
Holdings,
Inc.
a
28,707
1,800
JGC
Corporation
18,670
1,700
JSR
Corporation
40,406
1,700
JTEKT
Corporation
13,334
3,800
Kajima
Corporation
45,783
1,100
Kakaku.com,
Inc.
29,000
800
Kamigumi
Company,
Ltd.
15,764
5,900
Kansai
Electric
Power
Company,
Inc.
57,182
1,500
Kansai
Paint
Company,
Ltd.
37,282
4,000
Kao
Corporation
300,283
1,200
Kawasaki
Heavy
Industries,
Ltd.
a
16,211
13,500
KDDI
Corporation
339,546
800
Keihan
Holdings
Company,
Ltd.
33,217
1,800
Keikyu
Corporation
27,705
900
Keio
Corporation
55,715
1,100
Keisei
Electric
Railway
Company,
Ltd.
31,068
1,500
Keyence
Corporation
701,219
1,200
Kikkoman
Corporation
66,569
1,400
Kintetsu
Group
Holdings
Company,
Ltd.
59,747
6,900
Kirin
Holdings
Company,
Ltd.
129,600
400
Kobayashi
Pharmaceutical
Company,
Ltd.
38,650
500
Kobe
Bussan
Company,
Ltd.
27,536
900
Koito
Manufacturing
Company,
Ltd.
45,923
7,300
Komatsu,
Ltd.
160,330
800
Konami
Holdings
Corporation
34,607
300
KOSE
Corporation
36,731
8,700
Kubota
Corporation
155,880
2,700
Kuraray
Company,
Ltd.
26,197
800
Kurita
Water
Industries,
Ltd.
26,455
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
142
Shares
Common
Stock
(96.2%)
Value
Japan
(25.0%)
-
continued
2,700
Kyocera
Corporation
$
154,593
2,300
Kyowa
Hakko
Kirin
Company,
Ltd.
65,451
3,200
Kyushu
Electric
Power
Company,
Inc.
29,034
1,300
Kyushu
Railway
Company
27,795
600
Lasertec
Corporation
49,319
400
Lawson,
Inc.
19,073
300
LINE
Corporation
a
15,270
1,900
Lion
Corporation
39,005
2,200
LIXIL
Group
Corporation
44,467
3,700
M3,
Inc.
228,868
1,900
Makita
Corporation
90,933
13,800
Marubeni
Corporation
78,348
1,600
Marui
Group
Company,
Ltd.
30,703
500
Maruichi
Steel
Tube,
Ltd.
12,518
4,800
Mazda
Motor
Corporation
28,156
600
McDonald's
Holdings
Company
Japan,
Ltd.
29,183
1,500
Medipal
Holdings
Corporation
30,078
1,000
MEIJI
Holdings
Company,
Ltd.
76,386
700
Mercari
,
Inc.
a
32,349
3,000
Minebea
Company,
Ltd.
57,145
2,400
MISUMI
Group,
Inc.
67,289
10,700
Mitsubishi
Chemical
Holdings
Corporation
61,764
11,200
Mitsubishi
Corporation
268,076
15,300
Mitsubishi
Electric
Corporation
207,609
9,900
Mitsubishi
Estate
Company,
Ltd.
149,961
1,300
Mitsubishi
Gas
Chemical
Company,
Inc.
24,184
2,700
Mitsubishi
Heavy
Industries,
Ltd.
59,780
900
Mitsubishi
Materials
Corporation
17,736
5,600
Mitsubishi
Motors
Corporation
a
12,365
102,500
Mitsubishi
UFJ
Financial
Group,
Inc.
409,065
3,400
Mitsubishi
UFJ
Lease
&
Finance
Company,
Ltd.
15,798
13,700
Mitsui
&
Company,
Ltd.
235,405
1,500
Mitsui
Chemicals,
Inc.
36,255
7,800
Mitsui
Fudosan
Company,
Ltd.
135,733
700
Miura
Company,
Ltd.
34,334
20,230
Mizuho
Financial
Group,
Inc.
252,504
1,100
MonotaRO
Company,
Ltd.
54,638
3,700
MS
and
AD
Insurance
Group
Holdings,
Inc.
99,690
4,800
Murata
Manufacturing
Company,
Ltd.
312,130
900
Nabtesco
Corporation
32,676
1,600
Nagoya
Railroad
Company,
Ltd.
43,863
2,100
NEC
Corporation
122,837
4,100
NEXON
Company,
Ltd.
102,270
2,200
NGK
Insulators,
Ltd.
31,413
1,300
NGK
Spark
Plug
Company,
Ltd.
22,698
700
NH
Foods,
Ltd.
31,289
3,700
Nidec
Corporation
346,978
1,300
Nihon
M&A
Center,
Inc.
74,372
2,500
Nikon
Corporation
16,869
900
Nintendo
Company,
Ltd.
510,022
11
Nippon
Building
Fund,
Inc.
62,260
600
Nippon
Express
Company,
Ltd.
35,012
1,200
Nippon
Paint
Holdings
Company,
Ltd.
123,536
18
Nippon
Prologis
REIT,
Inc.
60,701
400
Nippon
Shinyaku
Company,
Ltd.
32,934
6,800
Nippon
Steel
Corporation
a
64,195
Shares
Common
Stock
(96.2%)
Value
Japan
(25.0%)
-
continued
10,800
Nippon
Telegraph
&
Telephone
Corporation
$
220,500
1,300
Nippon
Yusen
Kabushiki
Kaisha
22,556
1,000
Nissan
Chemical
Industries,
Ltd.
53,310
19,500
Nissan
Motor
Company,
Ltd.
a
68,964
1,700
Nisshin
Seifun
Group,
Inc.
26,981
500
Nissin
Foods
Holdings
Company,
Ltd.
46,974
700
Nitori
Holdings
Company,
Ltd.
145,216
1,300
Nitto
Denko
Corporation
84,693
26,400
Nomura
Holdings,
Inc.
120,646
1,000
Nomura
Real
Estate
Holdings,
Inc.
19,031
36
Nomura
Real
Estate
Master
Fund,
Inc.
45,100
2,700
Nomura
Research
Institute,
Ltd.
79,500
3,000
NSK,
Ltd.
22,963
5,300
NTT
Data
Corporation
67,826
9,500
NTT
DOCOMO,
Inc.
349,088
5,400
Obayashi
Corporation
49,298
600
OBIC
Company,
Ltd.
105,518
2,500
Odakyu
Electric
Railway
Company,
Ltd.
62,845
7,200
Oji
Holdings
Corporation
33,085
9,800
Olympus
Corporation
203,798
1,600
OMRON
Corporation
125,098
3,100
Ono
Pharmaceutical
Company,
Ltd.
97,507
300
Oracle
Corporation
Japan
32,393
1,700
Oriental
Land
Company,
Ltd.
238,417
11,000
ORIX
Corporation
137,393
22
ORIX
JREIT,
Inc.
33,850
3,100
Osaka
Gas
Company,
Ltd.
60,354
900
Otsuka
Corporation
45,991
3,300
Otsuka
Holdings
Company,
Ltd.
139,806
3,500
Pan
Pacific
International
Holdings
Company
81,509
18,500
Panasonic
Corporation
157,584
900
Park24
Company,
Ltd.
14,612
800
PeptiDream
,
Inc.
a
37,543
1,500
Persol
Holdings
Company,
Ltd.
24,501
1,000
Pigeon
Corporation
44,681
800
Pola
Orbis
Holdings,
Inc.
15,084
7,200
Rakuten
,
Inc.
77,637
10,700
Recruit
Holdings
Company,
Ltd.
424,954
6,500
Renesas
Electronics
Corporation
a
47,708
17,500
Resona
Holdings,
Inc.
59,620
5,600
Ricoh
Company,
Ltd.
37,801
300
Rinnai
Corporation
29,262
700
Rohm
Company,
Ltd.
54,117
2,000
Ryohin
Keikaku
Company,
Ltd.
33,233
3,000
Santen
Pharmaceutical
Company,
Ltd.
61,338
2,000
SBI
Holdings,
Inc.
51,824
400
SCSK
Corporation
22,380
1,800
Secom
Company,
Ltd.
164,728
1,500
Sega
Sammy
Holdings,
Inc.
18,282
1,800
Seibu
Holdings,
Inc.
19,383
2,300
Seiko
Epson
Corporation
26,451
3,000
Sekisui
Chemical
Company,
Ltd.
47,986
5,200
Sekisui
House,
Ltd.
92,148
6,300
Seven
&
I
Holdings
Company,
Ltd.
195,742
4,900
Seven
Bank,
Ltd.
11,875
1,300
SG
Holdings
Company,
Ltd.
67,644
1,800
Sharp
Corporation
22,391
1,900
Shimadzu
Corporation
57,829
200
SHIMAMURA
Company,
Ltd.
19,429
600
Shimano,
Inc.
118,437
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
143
Shares
Common
Stock
(96.2%)
Value
Japan
(25.0%)
-
continued
4,600
Shimizu
Corporation
$
34,629
3,000
Shin-Etsu
Chemical
Company,
Ltd.
392,563
1,300
Shinsei
Bank,
Ltd.
16,051
2,200
Shionogi
&
Company,
Ltd.
117,753
3,400
Shiseido
Company,
Ltd.
196,826
3,600
Shizuoka
Bank,
Ltd.
24,862
1,100
Showa
Denko
KK
20,190
500
SMC
Corporation
278,918
24,100
SoftBank
Corporation
269,302
13,100
SoftBank
Group
Corporation
810,557
600
Sohgo
Security
Services
Company,
Ltd.
28,582
2,800
Sompo
Holdings,
Inc.
96,665
10,600
Sony
Corporation
812,406
800
Square
Enix
Holdings
Company,
Ltd.
52,945
1,100
Stanley
Electric
Company,
Ltd.
31,701
900
Start
Today
Company,
Ltd.
25,114
5,200
Subaru
Corporation
100,947
2,200
Sumco
Corporation
31,040
12,500
Sumitomo
Chemical
Company,
Ltd.
41,375
10,000
Sumitomo
Corporation
120,545
1,500
Sumitomo
Dainippon
Pharma
Company,
Ltd.
19,766
6,300
Sumitomo
Electric
Industries,
Ltd.
70,921
900
Sumitomo
Heavy
Industries,
Ltd.
20,939
2,000
Sumitomo
Metal
Mining
Company,
Ltd.
62,029
10,900
Sumitomo
Mitsui
Financial
Group,
Inc.
304,773
2,800
Sumitomo
Mitsui
Trust
Holdings,
Inc.
74,491
2,600
Sumitomo
Realty
&
Development
Company,
Ltd.
76,968
1,400
Sumitomo
Rubber
Industries,
Ltd.
13,005
600
Sundrug
Company,
Ltd.
22,617
1,200
Suntory
Beverage
and
Food,
Ltd.
45,064
600
Suzuken
Company,
Ltd.
22,886
3,100
Suzuki
Motor
Corporation
132,797
1,400
Sysmex
Corporation
133,955
4,500
T&D
Holdings,
Inc.
44,362
1,000
Taiheiyo
Cement
Corporation
25,534
1,600
Taisei
Corporation
54,155
300
Taisho
Pharmaceutical
Holdings
Company,
Ltd.
19,757
1,300
Taiyo
Nippon
Sanso
Corporation
19,989
13,200
Takeda
Pharmaceutical
Company,
Ltd.
471,807
1,100
TDK
Corporation
120,112
1,500
Teijin,
Ltd.
23,263
5,400
Terumo
Corporation
214,999
1,000
THK
Company,
Ltd.
25,166
1,900
TIS,
Inc.
40,356
1,600
Tobu
Railway
Company,
Ltd.
49,443
900
Toho
Company,
Ltd.
37,106
600
Toho
Gas
Company,
Ltd.
29,688
3,600
Tohoku
Electric
Power
Company,
Inc.
36,079
5,300
Tokio
Marine
Holdings,
Inc.
231,899
12,100
Tokyo
Electric
Power
Company,
Inc.
a
33,277
1,300
Tokyo
Electron,
Ltd.
339,631
3,200
Tokyo
Gas
Company,
Ltd.
73,026
4,200
Tokyu
Corporation
54,509
5,100
Tokyu
Fudosan
Holdings
Corporation
22,031
Shares
Common
Stock
(96.2%)
Value
Japan
(25.0%)
-
continued
2,200
Toppan
Printing
Company,
Ltd.
$
31,097
11,600
Toray
Industries,
Inc.
53,070
3,200
Toshiba
Corporation
81,631
2,200
Tosoh
Corporation
35,719
1,200
TOTO,
Ltd.
55,295
700
Toyo
Suisan
Kaisha,
Ltd.
36,964
500
Toyoda
Gosei
Company,
Ltd.
11,481
1,200
Toyota
Industries
Corporation
75,986
17,800
Toyota
Motor
Corporation
1,181,386
1,800
Toyota
Tsusho
Corporation
50,627
1,100
Trend
Micro,
Inc.
67,032
300
TSURUHA
Holdings,
Inc.
42,530
3,400
Unicharm
Corporation
152,059
25
United
Urban
Investment
Corporation
27,819
1,800
USS
Company,
Ltd.
32,208
800
Welcia
Holdings
Company,
Ltd.
35,083
1,400
West
Japan
Railway
Company
69,172
1,000
Yakult
Honsha
Company,
Ltd.
55,525
6,100
Yamada
Denki
Company,
Ltd.
30,420
1,100
Yamaha
Corporation
52,757
2,300
Yamaha
Motor
Company,
Ltd.
33,421
2,600
Yamato
Holdings
Company,
Ltd.
68,490
1,000
Yamazaki
Baking
Company,
Ltd.
17,431
2,000
Yaskawa
Electric
Corporation
78,246
1,900
Yokogawa
Electric
Corporation
30,175
1,000
Yokohama
Rubber
Company,
Ltd.
14,235
22,200
Z
Holdings
Corporation
148,283
Total
29,812,805
Jersey
(0.3%)
7,616
Experian
plc
286,168
10,375
WPP
plc
81,485
Total
367,653
Luxembourg
(0.2%)
6,010
Arcelor
Mittal
a
79,953
8,373
Aroundtown
SA
a
42,032
111
Eurofins
Scientific
SE
a
87,931
3,215
SES
SA
22,760
3,959
Tenaris
SA
19,724
Total
252,400
Netherlands
(5.1%)
3,547
ABN
AMRO
Group
NV
b
29,652
152
Adyen
NV
a,b
280,364
15,003
Aegon
NV
38,833
1,104
AerCap
Holdings
NV
a
27,810
4,925
Airbus
Group
NV
a
357,191
1,618
Akzo
Nobel
NV
163,533
5,222
Altice
Europe
NV
a
24,863
374
Argenx
SE
a
98,799
3,569
ASML
Holding
NV
1,318,300
8,580
CNH
Industrial
NV
a
66,361
909
EXOR
NV
49,343
1,057
Ferrari
NV
193,981
9,200
Fiat
Chrysler
Automobiles
NV
a
112,930
966
Heineken
Holding
NV
75,279
2,173
Heineken
NV
193,456
32,673
ING
Groep
NV
a
233,184
1,060
Just
Eat
Takeaway.com
NV
a,b
118,664
29,954
Koninklijke
(Royal)
KPN
NV
70,282
9,229
Koninklijke
Ahold
Delhaize
NV
272,792
1,445
Koninklijke
DSM
NV
237,894
7,671
Koninklijke
Philips
NV
a
362,220
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
144
Shares
Common
Stock
(96.2%)
Value
Netherlands
(5.1%)
-
continued
590
Koninklijke
Vopak
NV
$
33,245
2,417
NN
Group
NV
90,599
4,087
Prosus
NV
a
377,243
1,913
Qiagen
NV
a
99,361
999
Randstad
Holding
NV
a
52,093
5,348
STMicroelectronics
NV
164,024
12,248
Unilever
NV
743,793
2,289
Wolters
Kluwer
NV
195,258
Total
6,081,347
New
Zealand
(0.3%)
6,170
a2
Milk
Company,
Ltd.
a
62,795
10,495
Auckland
International
Airport,
Ltd.
50,942
4,817
Fisher
&
Paykel
Healthcare
Corporation,
Ltd.
106,314
5,711
Mercury
NZ,
Ltd.
19,325
10,745
Meridian
Energy,
Ltd.
35,339
3,354
Ryman
Healthcare,
Ltd.
31,510
15,403
Spark
New
Zealand,
Ltd.
48,062
Total
354,287
Norway
(0.5%)
2,010
Adevinta
ASA
a
34,543
7,950
DnB
ASA
a
110,749
8,398
Equinor
ASA
118,980
1,677
Gjensidige
Forsikring
ASA
34,034
3,685
Mowi
ASA
65,563
11,276
Norsk
Hydro
ASA
a
31,124
6,298
Orkla
ASA
63,562
822
Schibsted
ASA
a
32,748
6,047
Telenor
ASA
101,522
1,485
Yara
International
ASA
57,143
Total
649,968
Papua
New
Guinea
(<0.1%)
16,545
Oil
Search,
Ltd.
31,646
Total
31,646
Portugal
(0.2%)
23,285
EDP
-
Energias
de
Portugal
SA
114,491
4,203
Galp
Energia
SGPS
SA
38,985
2,111
Jeronimo
Martins
SGPS
SA
33,946
Total
187,422
Singapore
(1.0%)
25,800
Ascendas
REIT
61,738
22,600
Capitaland
Commercial
Trust
27,404
21,700
CapitaLand
Mall
Trust
30,885
21,500
CapitaLand,
Ltd.
42,986
3,800
City
Developments,
Ltd.
21,392
15,000
DBS
Group
Holdings,
Ltd.
220,521
50,700
Genting
Singapore,
Ltd.
25,026
800
Jardine
Cycle
&
Carriage,
Ltd.
10,619
12,200
Keppel
Corporation,
Ltd.
39,963
18,000
Mapletree
Commercial
Trust
25,858
22,300
Mapletree
Logistics
Trust
33,590
27,700
Oversea-Chinese
Banking
Corporation,
Ltd.
172,259
11,300
Singapore
Airlines,
Ltd.
28,918
6,700
Singapore
Exchange,
Ltd.
45,189
13,100
Singapore
Technologies
Engineering,
Ltd.
33,383
68,500
Singapore
Telecommunications,
Ltd.
107,207
16,500
Suntec
Real
Estate
Investment
Trust
17,691
9,900
United
Overseas
Bank,
Ltd.
139,463
Shares
Common
Stock
(96.2%)
Value
Singapore
(1.0%)
-
continued
3,900
United
Overseas
Land,
Ltd.
$
19,163
2,300
Venture
Corporation,
Ltd.
32,658
16,100
Wilmar
International,
Ltd.
52,274
21,700
Yangzijiang
Shipbuilding
Holdings,
Ltd.
15,852
Total
1,204,039
Spain
(2.2%)
2,275
ACS
Actividades
de
Construccion
y
Servicios
,
SA
51,426
566
Aena
SA
a,b
78,804
3,777
Amadeus
IT
Holding
SA
209,761
55,908
Banco
Bilbao
Vizcaya
Argentaria
SA
155,198
139,337
Banco
Santander
SA
259,900
5,653
Bankinter
SA
24,336
30,091
CaixaBank
SA
63,880
2,650
Cellnex
Telecom
SA
a,b
160,863
2,087
Enagas
SA
48,154
2,663
Endesa
SA
71,230
4,063
Ferrovial
SA
98,693
2,501
Grifols
SA
71,917
49,806
Iberdrola
SA
613,045
9,146
Industria
de
Diseno
Textil
SA
253,020
9,037
Mapfre
SA
14,178
2,475
Naturgy
Energy
Group
SA
49,636
3,629
Red
Electrica
Corporacion
SA
68,063
12,474
Repsol
SA
84,270
1,999
Siemens
Gamesa
Renewable
Energy
SA
54,097
40,813
Telefonica
SA
139,809
Total
2,570,280
Supranational
(<0.1%)
1,160
Unibail
-
Rodamco
-Westfield
42,781
Total
42,781
Sweden
(3.0%)
1,330
AB
Industrivarden
a
35,370
2,638
Alfa
Laval
AB
a
58,233
8,404
Assa
Abloy
AB
196,487
5,630
Atlas
Copco
AB,
Class
A
268,432
3,272
Atlas
Copco
AB,
Class
B
136,553
2,293
Boliden
AB
68,035
1,891
Electrolux
AB
44,081
5,526
Epiroc
AB,
Class
A
80,051
3,270
Epiroc
AB,
Class
B
45,390
1,998
EQT
AB
38,770
5,085
Essity
Aktiebolag
a
171,676
1,066
Evolution
Gaming
Group
AB
b
70,434
6,736
Hennes
&
Mauritz
AB
116,047
2,360
Hexagon
AB
a
178,258
3,504
Husqvarna
AB
38,531
843
ICA
Gruppen
AB
42,826
1,241
Investment
AB
Latour
29,156
3,819
Investor
AB
249,456
2,028
Kinnevik
AB
82,313
637
L
E
Lundbergforetagen
AB
a
31,474
1,558
Lundin
Energy
AB
30,896
2,615
NIBE
Industrier
AB
a
67,208
9,466
Sandvik
AB
a
185,111
2,625
Securitas
AB
a
40,128
13,646
Skandinaviska
Enskilda
Banken
AB
a
121,198
2,852
Skanska
AB
a
60,230
3,192
SKF
AB
65,853
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
145
Shares
Common
Stock
(96.2%)
Value
Sweden
(3.0%)
-
continued
5,080
Svenska
Cellulosa
AB
SCA
a
$
69,644
13,045
Svenska
Handelsbanken
AB
a
109,144
7,593
Swedbank
AB
a
118,873
1,360
Swedish
Match
AB
111,203
4,187
Tele2
AB
59,032
24,473
Telefonaktiebolaget
LM
Ericsson
267,814
20,574
Telia
Company
AB
84,171
12,466
Volvo
AB
a
239,470
Total
3,611,548
Switzerland
(10.4%)
15,452
ABB,
Ltd.
392,849
1,301
Adecco
SA
68,648
4,123
Alcon,
Inc.
a
233,757
389
Baloise
Holding
AG
57,270
253
Banque
Cantonale
Vaudoise
25,675
25
Barry
Callebaut
AG
55,684
1
Chocoladefabriken
Lindt
and
Spruengli
AG
89,097
1,670
Clariant
AG
32,944
1,676
Coca-Cola
HBC
AG
41,385
4,377
Compagnie
Financiere
Richemont
SA
293,884
20,360
Credit
Suisse
Group
AG
203,248
69
EMS-CHEMIE
Holding
AG
61,994
1,890
Ferguson
plc
190,193
311
Geberit
AG
183,995
77
Givaudan
SA
332,472
83,790
Glencore
Xstrata
plc
a
173,712
1,877
Julius
Baer
Group,
Ltd.
79,721
453
Kuehne
&
Nagel
International
AG
87,961
4,390
LafargeHolcim
,
Ltd.
199,831
9
Lindt
&
Spruengli
AG
75,969
1,379
Logitech
International
SA
106,820
624
Lonza
Group
AG
385,093
24,953
Nestle
SA
2,969,708
18,617
Novartis
AG
1,616,408
157
Partners
Group
Holding
AG
144,409
5,891
Roche
Holding
AG
2,017,906
169
Schindler
Holding
AG
45,866
341
Schindler
Holding
AG,
Participation
Certificate
93,086
51
SGS
SA
136,672
1,189
Sika
AG
291,961
462
Sonova
Holding
AG
a
117,078
87
Straumann
Holding
AG
88,009
243
Swatch
Group
AG,
Bearer
Shares
56,697
441
Swatch
Group
AG,
Registered
Shares
19,859
268
Swiss
Life
Holding
AG
101,409
637
Swiss
Prime
Site
AG
57,852
2,471
Swiss
Re
AG
183,296
217
Swisscom
AG
114,958
556
Temenos
AG
74,729
30,739
UBS
Group
AG
343,444
382
Vifor
Pharma
AG
51,961
1,262
Zurich
Insurance
Group
AG
440,079
Total
12,337,589
United
Kingdom
(12.1%)
8,159
3i
Group
plc
104,773
1,601
Admiral
Group
plc
53,994
10,299
Anglo
American
plc
249,171
3,306
Antofagasta
plc
43,630
3,780
Ashtead
Group
plc
136,124
2,987
Associated
British
Foods
plc
71,914
Shares
Common
Stock
(96.2%)
Value
United
Kingdom
(12.1%)
-
continued
11,002
AstraZeneca
plc
$
1,202,133
8,100
Auto
Trader
Group
plc
b
58,810
542
Aveva
Group
plc
33,430
32,882
Aviva
plc
121,655
26,881
BAE
Systems
plc
166,945
145,267
Barclays
plc
a
183,264
8,538
Barratt
Developments
plc
52,361
1,056
Berkeley
Group
Holdings
plc
57,566
17,709
BHP
Group
plc
377,809
169,817
BP
plc
491,110
19,234
British
American
Tobacco
plc
689,952
7,381
British
Land
Company
plc
32,177
74,573
BT
Group
plc
94,456
2,824
Bunzl
plc
91,177
3,393
Burberry
Group
plc
68,010
1,721
Coca-Cola
European
Partners
plc
66,792
14,956
Compass
Group
plc
224,667
1,081
Croda
International
plc
87,200
19,595
Diageo
plc
673,066
11,529
Direct
Line
Insurance
Group
plc
40,210
4,261
Evraz
plc
18,974
42,061
GlaxoSmithKline
plc
788,543
3,183
Halma
plc
96,165
2,784
Hargreaves
Lansdown
plc
56,002
1,448
Hikma
Pharmaceuticals
plc
48,533
170,759
HSBC
Holdings
plc
668,056
7,935
Imperial
Brands
plc
140,160
12,595
Informa
plc
a
61,044
1,450
InterContinental
Hotels
Group
plc
a
76,111
1,353
Intertek
Group
plc
110,401
14,843
J
Sainsbury
plc
36,546
3,672
JD
Sports
Fashion
plc
38,331
1,623
Johnson
Matthey
plc
49,320
17,693
Kingfisher
plc
67,772
5,906
Land
Securities
Group
plc
39,761
50,018
Legal
&
General
Group
plc
122,018
593,222
Lloyds
TSB
Group
plc
a
201,389
2,652
London
Stock
Exchange
Group
plc
304,231
21,799
M&G
plc
44,807
40,735
Melrose
Industries
plc
a
60,404
4,071
Mondi
plc
86,080
29,416
National
Grid
plc
337,878
40,561
Natwest
Group
plc
a
55,546
1,115
Next
plc
85,484
3,832
Ocado
Group
plc
a
135,536
6,437
Pearson
plc
45,662
2,674
Persimmon
plc
85,217
21,874
Prudential
plc
313,857
5,951
Reckitt
Benckiser
Group
plc
580,257
16,211
RELX
plc
360,827
15,506
Rentokil
Initial
plc
a
107,176
9,405
Rio
Tinto
plc
565,925
16,191
Rolls-Royce
Holdings
plc
26,883
34,387
Royal
Dutch
Shell
plc,
Class
A
429,266
31,075
Royal
Dutch
Shell
plc,
Class
B
376,850
8,650
RSA
Insurance
Group
plc
a
50,506
9,152
Sage
Group
plc
85,051
1,042
Schroders
plc
36,189
9,985
SEGRO
plc
119,996
1,995
Severn
Trent
plc
62,812
7,333
Smith
&
Nephew
plc
143,649
3,322
Smiths
Group
plc
58,765
618
Spirax-Sarco
Engineering
plc
88,005
8,715
SSE
plc
135,643
4,486
St.
James's
Place
plc
53,969
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
146
Shares
Common
Stock
(96.2%)
Value
United
Kingdom
(12.1%)
-
continued
22,494
Standard
Chartered
plc
a
$
103,509
19,123
Standard
Life
Aberdeen
plc
55,690
30,531
Taylor
Wimpey
plc
42,691
82,115
Tesco
plc
225,268
9,798
Unilever
plc
604,081
5,717
United
Utilities
Group
plc
63,153
224,468
Vodafone
Group
plc
297,518
1,692
Whitbread
plc
46,230
20,165
William
Morrison
Supermarkets
plc
44,261
Total
14,410,394
Total
Common
Stock
(cost
$100,309,791)
114,492,320
Shares
Preferred
Stock
(
0.4%
)
Germany
(0.4%)
477
Bayerische
Motoren
Werke
AG
26,070
1,494
Henkel
AG
&
Company
KGaA
156,253
1,556
Volkswagen
AG
a
250,379
Total
432,702
Total
Preferred
Stock
(cost
$362,016)
432,702
Shares
or
Principal
Amount
Short-Term
Investments
(
3.0%
)
Federal
Home
Loan
Bank
Discount
Notes
100,000
0.060%,
10/7/2020
d,e
99,999
300,000
0.080%,
11/12/2020
d,e
299,976
Thrivent
Core
Short-Term
Reserve
Fund
324,100
0.310%
3,241,000
Total
Short-Term
Investments
(cost
$3,643,696)
3,640,975
Total
Investments
(cost
$104,315,503)
99.6%
$118,565,997
Other
Assets
and
Liabilities,
Net
0.4%
487,440
Total
Net
Assets
100.0%
$119,053,437
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$1,968,182
or
1.7%
of
total
net
assets.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
e
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
International
Index
Portfolio
as
of
September
30,
2020
was
$86,482
or
0.1%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Security
Acquisition
Date
Cost
Siemens
Energy
AG,
10/15/2020
9/28/2020
$
78,949
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
DRIP
-
Dividend
Reinvestment
Plan
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
147
Reference
Description:
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
International
Index
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
6,047,055
–
6,047,055
–
Consumer
Discretionary
12,880,223
30,503
12,849,720
–
Consumer
Staples^
13,934,534
66,792
13,867,742
0
Energy
3,281,018
–
3,281,018
–
Financials
17,937,515
–
17,937,515
–
Health
Care
16,097,075
179,097
15,917,978
–
Industrials
17,262,054
27,810
17,147,762
86,482
Information
Technology
10,425,560
257,625
10,167,935
–
Materials
8,525,647
–
8,525,647
–
Real
Estate
3,635,183
–
3,635,183
–
Utilities
4,466,456
–
4,466,456
–
Preferred
Stock
Consumer
Discretionary
276,449
–
276,449
–
Consumer
Staples
156,253
–
156,253
–
Short-Term
Investments
399,975
–
399,975
–
Subtotal
Investments
in
Securities
$115,324,997
$561,827
$114,676,688
$86,482
Other
Investments *
Total
Affiliated
Short-Term
Investments
3,241,000
Subtotal
Other
Investments
$3,241,000
Total
Investments
at
Value
$118,565,997
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
75,406
75,406
–
–
Total
Liability
Derivatives
$75,406
$75,406
$–
$–
^
Level
3
security
in
this
section
is
fair
valued
at
<$1.
The
following
table
presents
International
Index
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$399,975
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
ICE
mini
MSCI
EAFE
Index
42
December
2020
$
3,967,126
(
$
75,406)
Total
Futures
Long
Contracts
$
3,967,126
(
$
75,406)
Total
Futures
Contracts
$
3,967,126
($75,406)
International
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
148
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
International
Index
Portfolio,
is
as
follows:
Portfolio
Value
4/30/2020
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$5,000
$32,238
$33,999
$3,241
324
2.7%
Total
Affiliated
Short-Term
Investments
5,000
3,241
2.7
Total
Value
$5,000
$3,241
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
4/30/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$5
$(3)
–
$5
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$5
Total
Value
$5
$(3)
$–
Large
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
149
Shares
Common
Stock
(
98.3%
)
Value
Communications
Services
(12.7%)
421,531
Activision
Blizzard,
Inc.
$
34,122,935
84,662
Alphabet,
Inc.,
Class
A
a
124,080,627
231,724
Facebook,
Inc.
a
60,688,516
568,691
Live
Nation
Entertainment,
Inc.
a
30,641,071
1,059,705
Uber
Technologies,
Inc.
a
38,658,038
Total
288,191,187
Consumer
Discretionary
(21.0%)
92,147
Amazon.com,
Inc.
a
290,146,024
304,490
Aptiv
plc
27,915,643
24,948
Chipotle
Mexican
Grill,
Inc.
a
31,028,077
224,706
Home
Depot,
Inc.
62,403,103
399,067
NIKE,
Inc.
50,098,871
36,712
Tesla,
Inc.
a
15,749,815
Total
477,341,533
Consumer
Staples
(0.6%)
332,718
BJ's
Wholesale
Club
Holdings,
Inc.
a
13,824,433
Total
13,824,433
Financials
(4.1%)
329,904
American
Express
Company
33,072,876
742,024
Charles
Schwab
Corporation
26,883,530
90,637
S&P
Global,
Inc.
32,683,702
Total
92,640,108
Health
Care
(13.5%)
76,479
Amgen,
Inc.
19,437,903
239,378
Cerner
Corporation
17,304,636
358,815
Edwards
Lifesciences
Corporation
a
28,640,613
59,295
Humana,
Inc.
24,541,607
58,911
Intuitive
Surgical,
Inc.
a
41,799,711
239,115
Novo
Nordisk
AS
ADR
16,601,754
97,309
Stryker
Corporation
20,276,276
64,757
Teladoc
Health,
Inc.
a,b
14,197,325
73,559
Thermo
Fisher
Scientific,
Inc.
32,477,770
88,230
Veeva
Systems,
Inc.
a
24,809,394
103,229
Vertex
Pharmaceuticals,
Inc.
a
28,090,675
225,137
Zoetis,
Inc.
37,230,906
Total
305,408,570
Industrials
(3.0%)
153,107
Honeywell
International,
Inc.
25,202,943
59,474
Lockheed
Martin
Corporation
22,795,195
95,945
Norfolk
Southern
Corporation
20,531,270
Total
68,529,408
Information
Technology
(41.0%)
121,023
Adobe,
Inc.
a
59,353,310
1,740,912
Apple,
Inc.
201,615,019
179,821
CDW
Corporation
21,494,004
275,668
MasterCard,
Inc.
93,222,647
886,627
Microsoft
Corporation
186,484,257
149,617
NVIDIA
Corporation
80,975,713
300,392
PayPal
Holdings,
Inc.
a
59,186,236
80,338
Salesforce.com,
Inc.
a
20,190,546
109,180
ServiceNow
,
Inc.
a
52,952,300
287,352
Square,
Inc.
a
46,709,067
545,738
Visa,
Inc.
109,131,228
Total
931,314,327
Shares
Common
Stock
(98.3%)
Value
Materials
(1.1%)
129,089
Ecolab,
Inc.
$
25,797,146
Total
25,797,146
Real
Estate
(1.3%)
123,811
American
Tower
Corporation
29,928,833
Total
29,928,833
Total
Common
Stock
(cost
$1,178,033,650)
2,232,975,545
Shares
Collateral
Held
for
Securities
Loaned
(
0.6%
)
Value
13,636,665
Thrivent
Cash
Management
Trust
13,636,665
Total
Collateral
Held
for
Securities
Loaned
(cost
$13,636,665)
13,636,665
Shares
Preferred
Stock
(
<0.1%
)
Value
Consumer
Discretionary
(<0.1%)
2,943
Airbnb,
Inc.,
Series
D,
Convertible
a,c
198,770
Total
198,770
Total
Preferred
Stock
(cost
$119,818)
198,770
Shares
Short-Term
Investments
(
1.4%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
3,138,349
0.310%
31,383,490
Total
Short-Term
Investments
(cost
$31,355,950)
31,383,490
Total
Investments
(cost
$1,223,146,083)
100.3%
$2,278,194,470
Other
Assets
and
Liabilities,
Net
(0.3%)
(6,298,594)
Total
Net
Assets
100.0%
$2,271,895,876
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Large
Cap
Growth
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
13,483,260
Total
lending
$13,483,260
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$13,636,665
Net
amounts
due
to
counterparty
$153,405
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Large
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
150
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Large
Cap
Growth
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
288,191,187
288,191,187
–
–
Consumer
Discretionary
477,341,533
477,341,533
–
–
Consumer
Staples
13,824,433
13,824,433
–
–
Financials
92,640,108
92,640,108
–
–
Health
Care
305,408,570
305,408,570
–
–
Industrials
68,529,408
68,529,408
–
–
Information
Technology
931,314,327
931,314,327
–
–
Materials
25,797,146
25,797,146
–
–
Real
Estate
29,928,833
29,928,833
–
–
Preferred
Stock
Consumer
Discretionary
198,770
–
–
198,770
Subtotal
Investments
in
Securities
$2,233,174,315
$2,232,975,545
$–
$198,770
Other
Investments *
Total
Affiliated
Short-Term
Investments
31,383,490
Collateral
Held
for
Securities
Loaned
13,636,665
Subtotal
Other
Investments
$45,020,155
Total
Investments
at
Value
$2,278,194,470
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Large
Cap
Growth
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$20,434
$213,798
$202,838
$31,383
3,138
1.4%
Total
Affiliated
Short-Term
Investments
20,434
31,383
1.4
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
3,542
70,446
60,351
13,637
13,637
0.6
Total
Collateral
Held
for
Securities
Loaned
3,542
13,637
0.6
Total
Value
$23,976
$45,020
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(39)
$28
–
$215
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$215
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
9
Total
Affiliated
Income
from
Securities
Loaned,
Net
$9
Total
Value
$(39)
$28
$–
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
151
Shares
Common
Stock
(
99.6%
)
Value
Communications
Services
(10.0%)
34,731
Activision
Blizzard,
Inc.
$
2,811,474
13,514
Alphabet,
Inc.,
Class
A
a
19,806,118
13,205
Alphabet,
Inc.,
Class
C
a
19,406,068
320,453
AT&T,
Inc.
9,136,115
44,521
CenturyLink,
Inc.
449,217
6,727
Charter
Communications,
Inc.
a
4,199,935
205,029
Comcast
Corporation
9,484,642
7,216
Discovery,
Inc.,
Class
A
a,b
157,092
13,923
Discovery,
Inc.,
Class
C
a
272,891
11,096
DISH
Network
Corporation
a
322,117
12,989
Electronic
Arts,
Inc.
a
1,693,895
108,135
Facebook,
Inc.
a
28,320,556
15,454
Fox
Corporation,
Class
A
430,085
7,045
Fox
Corporation,
Class
B
197,049
17,559
Interpublic
Group
of
Companies,
Inc.
292,709
6,407
Live
Nation
Entertainment,
Inc.
a
345,209
17,535
News
Corporation,
Class
A
245,841
5,491
News
Corporation,
Class
B
76,764
9,659
Omnicom
Group,
Inc.
478,120
5,135
Take-Two
Interactive
Software,
Inc.
a
848,405
26,166
T-Mobile
US,
Inc.
a
2,992,344
35,574
Twitter,
Inc.
a
1,583,043
186,112
Verizon
Communications,
Inc.
11,071,803
25,356
ViacomCBS
,
Inc.
710,222
81,274
Walt
Disney
Company
10,084,478
Total
125,416,192
Consumer
Discretionary
(12.3%)
3,114
Advance
Auto
Parts,
Inc.
477,999
19,149
Amazon.com,
Inc.
a
60,295,031
12,145
Aptiv
plc
1,113,454
1,052
AutoZone,
Inc.
a
1,238,877
10,361
Best
Buy
Company,
Inc.
1,153,076
1,842
Booking
Holdings,
Inc.
a
3,151,073
9,342
BorgWarner,
Inc.
361,909
7,327
CarMax,
Inc.
a
673,425
23,292
Carnival
Corporation
b
353,573
1,258
Chipotle
Mexican
Grill,
Inc.
a
1,564,587
14,886
D.R.
Horton,
Inc.
1,125,828
5,852
Darden
Restaurants,
Inc.
589,530
11,201
Dollar
General
Corporation
2,347,954
10,673
Dollar
Tree,
Inc.
a
974,872
1,770
Domino's
Pizza,
Inc.
752,746
29,904
eBay,
Inc.
1,557,998
5,367
Etsy,
Inc.
a
652,788
6,102
Expedia
Group,
Inc.
559,492
175,745
Ford
Motor
Company
1,170,462
9,241
Gap,
Inc.
157,374
6,709
Garmin,
Ltd.
636,416
56,641
General
Motors
Company
1,676,007
6,500
Genuine
Parts
Company
618,605
15,679
Hanesbrands,
Inc.
246,944
5,740
Hasbro,
Inc.
474,813
12,472
Hilton
Worldwide
Holdings,
Inc.
1,064,111
48,415
Home
Depot,
Inc.
13,445,330
10,520
L
Brands,
Inc.
334,641
14,772
Las
Vegas
Sands
Corporation
689,261
5,959
Leggett
&
Platt,
Inc.
245,332
12,351
Lennar
Corporation
1,008,830
12,591
LKQ
Corporation
a
349,148
33,990
Lowe's
Companies,
Inc.
5,637,581
11,961
Marriott
International,
Inc.
1,107,349
33,467
McDonald's
Corporation
7,345,672
18,414
MGM
Resorts
International
400,504
Shares
Common
Stock
(99.6%)
Value
Consumer
Discretionary
(12.3%)
-
continued
2,679
Mohawk
Industries,
Inc.
a
$
261,444
19,835
Netflix,
Inc.
a
9,918,095
16,984
Newell
Brands,
Inc.
291,445
55,989
NIKE,
Inc.
7,028,859
12,396
Norwegian
Cruise
Line
Holdings,
Ltd.
a,b
212,096
158
NVR,
Inc.
a
645,133
3,331
O'Reilly
Automotive,
Inc.
a
1,535,857
12,062
PulteGroup,
Inc.
558,350
3,197
PVH
Corporation
190,669
2,154
Ralph
Lauren
Corporation
146,407
16,011
Ross
Stores,
Inc.
1,494,147
8,014
Royal
Caribbean
Cruises,
Ltd.
b
518,746
52,577
Starbucks
Corporation
4,517,416
12,429
Tapestry,
Inc.
194,265
22,516
Target
Corporation
3,544,469
4,858
Tiffany
&
Company
562,799
53,929
TJX
Companies,
Inc.
3,001,149
5,227
Tractor
Supply
Company
749,238
2,533
Ulta
Beauty,
Inc.
a
567,341
8,490
Under
Armour
,
Inc.,
Class
A
a
95,343
8,852
Under
Armour
,
Inc.,
Class
C
a
87,104
14,372
VF
Corporation
1,009,633
2,801
Whirlpool
Corporation
515,076
4,373
Wynn
Resorts,
Ltd.
314,025
13,562
Yum!
Brands,
Inc.
1,238,211
Total
154,749,909
Consumer
Staples
(7.0%)
83,583
Altria
Group,
Inc.
3,229,647
24,991
Archer-Daniels-Midland
Company
1,161,832
8,218
Brown-Forman
Corporation
618,980
9,105
Campbell
Soup
Company
440,409
11,123
Church
&
Dwight
Company,
Inc.
1,042,336
5,677
Clorox
Company
b
1,193,135
173,872
Coca-Cola
Company
8,584,061
38,562
Colgate-Palmolive
Company
2,975,058
21,952
Conagra
Brands,
Inc.
783,906
7,557
Constellation
Brands,
Inc.
1,432,127
19,858
Costco
Wholesale
Corporation
7,049,590
10,145
Estee
Lauder
Companies,
Inc.
2,214,146
27,477
General
Mills,
Inc.
1,694,781
6,630
Hershey
Company
950,344
12,628
Hormel
Foods
Corporation
617,383
5,131
J.M.
Smucker
Company
592,733
11,413
Kellogg
Company
737,166
15,339
Kimberly-Clark
Corporation
2,264,957
29,143
Kraft
Heinz
Company
872,833
34,988
Kroger
Company
1,186,443
6,536
Lamb
Weston
Holdings,
Inc.
433,141
5,569
McCormick
&
Company,
Inc.
1,080,943
8,479
Molson
Coors
Beverage
Company
284,555
64,241
Mondelez
International,
Inc.
3,690,646
16,604
Monster
Beverage
Corporation
a
1,331,641
62,275
PepsiCo,
Inc.
8,631,315
70,040
Philip
Morris
International,
Inc.
5,252,300
111,973
Procter
&
Gamble
Company
15,563,127
22,879
Sysco
Corporation
1,423,531
13,234
Tyson
Foods,
Inc.
787,158
32,348
Walgreens
Boots
Alliance,
Inc.
1,161,940
62,451
Wal-Mart
Stores,
Inc.
8,737,519
Total
88,019,683
Energy
(2.0%)
17,008
Apache
Corporation
161,066
29,518
Baker
Hughes
Company
392,294
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
152
Shares
Common
Stock
(99.6%)
Value
Energy
(2.0%)
-
continued
17,959
Cabot
Oil
&
Gas
Corporation
$
311,768
83,984
Chevron
Corporation
6,046,848
8,867
Concho
Resources,
Inc.
391,212
48,240
ConocoPhillips
1,584,202
17,258
Devon
Energy
Corporation
163,261
7,111
Diamondback
Energy,
Inc.
214,183
26,187
EOG
Resources,
Inc.
941,161
190,168
Exxon
Mobil
Corporation
6,528,468
39,548
Halliburton
Company
476,553
12,295
Hess
Corporation
503,234
6,713
HollyFrontier
Corporation
132,313
87,638
Kinder
Morgan,
Inc.
1,080,577
35,603
Marathon
Oil
Corporation
145,616
29,297
Marathon
Petroleum
Corporation
859,574
17,499
National
Oilwell
Varco,
Inc.
158,541
21,798
Noble
Energy,
Inc.
186,373
37,651
Occidental
Petroleum
Corporation
376,887
19,978
ONEOK,
Inc.
519,028
19,641
Phillips
66
1,018,189
7,388
Pioneer
Natural
Resources
Company
635,294
62,431
Schlumberger,
Ltd.
971,426
18,942
TechnipFMC
plc
119,524
18,350
Valero
Energy
Corporation
794,922
54,581
Williams
Companies,
Inc.
1,072,517
Total
25,785,031
Financials
(9.6%)
29,819
Aflac,
Inc.
1,083,921
14,047
Allstate
Corporation
1,322,385
29,332
American
Express
Company
2,940,533
38,744
American
International
Group,
Inc.
1,066,622
5,409
Ameriprise
Financial,
Inc.
833,581
10,416
Aon
plc
2,148,821
8,613
Arthur
J.
Gallagher
&
Company
909,361
2,689
Assurant,
Inc.
326,203
342,914
Bank
of
America
Corporation
8,260,798
36,655
Bank
of
New
York
Mellon
Corporation
1,258,733
89,152
Berkshire
Hathaway,
Inc.
a
18,984,027
6,378
BlackRock,
Inc.
3,594,322
20,538
Capital
One
Financial
Corporation
1,475,861
4,891
Cboe
Global
Markets,
Inc.
429,136
52,162
Charles
Schwab
Corporation
1,889,829
20,301
Chubb,
Ltd.
2,357,352
6,728
Cincinnati
Financial
Corporation
524,582
93,634
Citigroup,
Inc.
4,036,562
19,234
Citizens
Financial
Group,
Inc.
486,235
16,129
CME
Group,
Inc.
2,698,543
6,263
Comerica,
Inc.
239,560
13,782
Discover
Financial
Services
796,324
9,966
E*TRADE
Financial
Corporation
498,798
1,801
Everest
Re
Group,
Ltd.
355,770
32,034
Fifth
Third
Bancorp
682,965
7,741
First
Republic
Bank
844,233
12,031
Franklin
Resources,
Inc.
244,831
15,475
Goldman
Sachs
Group,
Inc.
3,110,011
16,124
Hartford
Financial
Services
Group,
Inc.
594,331
45,712
Huntington
Bancshares,
Inc.
419,179
25,243
Intercontinental
Exchange,
Inc.
2,525,562
16,961
Invesco,
Ltd.
193,525
137,069
J.P.
Morgan
Chase
&
Company
13,195,633
43,950
KeyCorp
524,323
8,170
Lincoln
National
Corporation
255,966
10,721
Loews
Corporation
372,555
Shares
Common
Stock
(99.6%)
Value
Financials
(9.6%)
-
continued
5,770
M&T
Bank
Corporation
$
531,359
1,707
MarketAxess
Holdings,
Inc.
822,074
22,782
Marsh
&
McLennan
Companies,
Inc.
2,613,095
34,699
MetLife,
Inc.
1,289,762
7,260
Moody's
Corporation
2,104,311
53,896
Morgan
Stanley
2,605,872
3,762
MSCI,
Inc.
1,342,206
5,176
Nasdaq,
Inc.
635,147
9,372
Northern
Trust
Corporation
730,735
19,132
People's
United
Financial,
Inc.
197,251
19,092
PNC
Financial
Services
Group,
Inc.
2,098,402
11,485
Principal
Financial
Group,
Inc.
462,501
26,329
Progressive
Corporation
2,492,566
17,765
Prudential
Financial,
Inc.
1,128,433
5,497
Raymond
James
Financial,
Inc.
399,962
43,136
Regions
Financial
Corporation
497,358
10,839
S&P
Global,
Inc.
3,908,543
15,865
State
Street
Corporation
941,270
2,328
SVB
Financial
Group
a
560,163
24,417
Synchrony
Financial
638,993
10,209
T.
Rowe
Price
Group,
Inc.
1,308,998
4,413
Torchmark
Corporation
352,599
11,399
Travelers
Companies,
Inc.
1,233,258
60,610
Truist
Financial
Corporation
2,306,210
61,652
U.S.
Bancorp
2,210,224
9,168
Unum
Group
154,297
6,325
W.R.
Berkley
Corporation
386,774
185,303
Wells
Fargo
&
Company
4,356,473
5,795
Willis
Towers
Watson
plc
1,210,112
7,385
Zions
Bancorporations
NA
215,790
Total
121,215,711
Health
Care
(14.2%)
79,631
Abbott
Laboratories
8,666,242
79,375
AbbVie,
Inc.
6,952,456
2,023
ABIOMED,
Inc.
a
560,492
13,867
Agilent
Technologies,
Inc.
1,399,735
9,857
Alexion
Pharmaceuticals,
Inc.
a
1,127,936
3,227
Align
Technology,
Inc.
a
1,056,391
6,611
AmerisourceBergen
Corporation
640,738
26,342
Amgen,
Inc.
6,695,083
11,312
Anthem,
Inc.
3,038,290
22,768
Baxter
International,
Inc.
1,831,003
13,037
Becton,
Dickinson
and
Company
3,033,449
7,120
Biogen,
Inc.
a
2,019,802
964
Bio-Rad
Laboratories,
Inc.
a
496,903
64,346
Boston
Scientific
Corporation
a
2,458,661
101,373
Bristol-Myers
Squibb
Company
6,111,778
13,164
Cardinal
Health,
Inc.
618,050
7,382
Catalent
,
Inc.
a
632,342
26,062
Centene
Corporation
a
1,520,196
13,735
Cerner
Corporation
992,903
16,515
Cigna
Holding
Company
2,797,806
2,210
Cooper
Companies,
Inc.
745,035
58,860
CVS
Health
Corporation
3,437,424
28,397
Danaher
Corporation
6,114,726
3,384
DaVita,
Inc.
a
289,840
9,827
Dentsply
Sirona,
Inc.
429,735
4,306
Dexcom
,
Inc.
a
1,775,062
27,963
Edwards
Lifesciences
Corporation
a
2,232,007
35,705
Eli
Lilly
and
Company
5,285,054
56,387
Gilead
Sciences,
Inc.
3,563,094
11,866
HCA
Healthcare,
Inc.
1,479,453
6,430
Henry
Schein,
Inc.
a
377,955
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
153
Shares
Common
Stock
(99.6%)
Value
Health
Care
(14.2%)
-
continued
11,640
Hologic
,
Inc.
a
$
773,711
5,950
Humana,
Inc.
2,462,645
3,826
IDEXX
Laboratories,
Inc.
a
1,504,039
6,566
Illumina,
Inc.
a
2,029,419
8,361
Incyte
Corporation
a
750,316
5,263
Intuitive
Surgical,
Inc.
a
3,734,309
8,603
IQVIA
Holding,
Inc.
a
1,356,091
118,413
Johnson
&
Johnson
17,629,327
4,381
Laboratory
Corporation
of
America
Holdings
a
824,811
7,291
McKesson
Corporation
1,085,849
60,452
Medtronic
plc
6,282,172
113,755
Merck
&
Company,
Inc.
9,435,977
1,078
Mettler
-Toledo
International,
Inc.
a
1,041,078
23,296
Mylan
NV
a
345,480
5,019
PerkinElmer,
Inc.
629,935
6,146
Perrigo
Company
plc
282,163
249,925
Pfizer,
Inc.
9,172,247
6,040
Quest
Diagnostics,
Inc.
691,520
4,702
Regeneron
Pharmaceuticals,
Inc.
a
2,632,086
6,513
ResMed
,
Inc.
1,116,524
3,829
STERIS
plc
674,631
14,697
Stryker
Corporation
3,062,414
2,089
Teleflex,
Inc.
711,137
17,792
Thermo
Fisher
Scientific,
Inc.
7,855,524
42,745
UnitedHealth
Group,
Inc.
13,326,609
3,491
Universal
Health
Services,
Inc.
373,607
4,095
Varian
Medical
Systems,
Inc.
a
704,340
11,715
Vertex
Pharmaceuticals,
Inc.
a
3,187,886
2,788
Waters
Corporation
a
545,556
3,321
West
Pharmaceutical
Services,
Inc.
912,943
9,312
Zimmer
Biomet
Holdings,
Inc.
1,267,736
21,370
Zoetis,
Inc.
3,533,957
Total
178,315,680
Industrials
(8.8%)
25,907
3M
Company
4,149,783
6,088
A.O.
Smith
Corporation
321,446
5,561
Alaska
Air
Group,
Inc.
203,699
4,154
Allegion
plc
410,872
22,873
American
Airlines
Group,
Inc.
b
281,109
10,335
AMETEK,
Inc.
1,027,299
17,654
Arconic
,
Inc.
295,175
23,863
Boeing
Company
3,943,599
6,070
C.H.
Robinson
Worldwide,
Inc.
620,293
36,619
Carrier
Global
Corporation
1,118,344
24,355
Caterpillar,
Inc.
3,632,548
3,910
Cintas
Corporation
1,301,365
9,292
Copart
,
Inc.
a
977,147
33,668
Corteva
,
Inc.
969,975
34,409
CSX
Corporation
2,672,547
6,645
Cummins,
Inc.
1,403,158
14,094
Deere
&
Company
3,123,653
28,688
Delta
Air
Lines,
Inc.
877,279
6,485
Dover
Corporation
702,585
17,995
Eaton
Corporation
plc
1,836,030
26,877
Emerson
Electric
Company
1,762,325
5,462
Equifax,
Inc.
856,988
7,541
Expeditors
International
of
Washington,
Inc.
682,611
25,820
Fastenal
Company
1,164,224
10,841
FedEx
Corporation
2,726,728
5,866
Flowserve
Corporation
160,083
15,160
Fortive
Corporation
1,155,344
Shares
Common
Stock
(99.6%)
Value
Industrials
(8.8%)
-
continued
6,213
Fortune
Brands
Home
and
Security,
Inc.
$
537,549
10,453
General
Dynamics
Corporation
1,447,009
393,687
General
Electric
Company
2,452,670
31,563
Honeywell
International,
Inc.
5,195,585
1,823
Huntington
Ingalls
Industries,
Inc.
256,587
3,394
IDEX
Corporation
619,100
16,776
IHS
Markit
,
Ltd.
1,317,084
12,940
Illinois
Tool
Works,
Inc.
2,500,137
16,694
Ingersoll
-
Rand,
Inc.
a
594,306
5,863
Jacobs
Engineering
Group,
Inc.
543,911
3,749
JB
Hunt
Transport
Services,
Inc.
473,799
33,464
Johnson
Controls
International
plc
1,367,004
4,243
Kansas
City
Southern
767,262
9,724
L3Harris
Technologies,
Inc.
1,651,524
23,629
Linde
Public
Limited
Company
5,626,774
11,064
Lockheed
Martin
Corporation
4,240,610
11,763
Masco
Corporation
648,494
16,070
Nielsen
Holdings
plc
227,873
11,474
Norfolk
Southern
Corporation
2,455,321
6,973
Northrop
Grumman
Corporation
2,199,912
4,327
Old
Dominion
Freight
Line,
Inc.
782,841
18,309
Otis
Worldwide
Corporation
1,142,848
15,577
PACCAR,
Inc.
1,328,407
5,784
Parker-Hannifin
Corporation
1,170,335
7,470
Pentair,
Ltd.
341,902
6,202
Quanta
Services,
Inc.
327,838
68,708
Raytheon
Technologies
Corporation
3,953,458
9,454
Republic
Services,
Inc.
882,531
5,164
Robert
Half
International,
Inc.
273,382
5,218
Rockwell
Automation,
Inc.
1,151,508
6,634
Rollins,
Inc.
359,497
4,709
Roper
Industries,
Inc.
1,860,573
2,446
Snap-On,
Inc.
359,880
26,530
Southwest
Airlines
Company
994,875
7,182
Stanley
Black
&
Decker,
Inc.
1,164,920
1,658
Teledyne
Technologies,
Inc.
a
514,328
10,255
Textron,
Inc.
370,103
10,765
Trane
Technologies
plc
1,305,256
2,438
TransDigm
Group,
Inc.
1,158,343
30,531
Union
Pacific
Corporation
6,010,638
13,087
United
Airlines
Holdings,
Inc.
a
454,773
31,802
United
Parcel
Service,
Inc.
5,299,167
3,244
United
Rentals,
Inc.
a
566,078
7,303
Verisk
Analytics,
Inc.
1,353,319
2,024
W.W.
Grainger,
Inc.
722,103
8,045
Wabtec
Corporation
497,825
17,480
Waste
Management,
Inc.
1,978,212
8,107
Xylem,
Inc.
681,961
Total
110,505,621
Information
Technology
(28.0%)
28,614
Accenture
plc
6,466,478
21,573
Adobe,
Inc.
a
10,580,046
52,820
Advanced
Micro
Devices,
Inc.
a
4,330,712
7,314
Akamai
Technologies,
Inc.
a
808,490
13,420
Amphenol
Corporation
1,452,983
16,621
Analog
Devices,
Inc.
1,940,336
3,858
ANSYS,
Inc.
a
1,262,453
723,049
Apple,
Inc.
83,736,305
41,076
Applied
Materials,
Inc.
2,441,968
2,462
Arista
Networks,
Inc.
a
509,462
9,862
Autodesk,
Inc.
a
2,278,221
19,338
Automatic
Data
Processing,
Inc.
2,697,458
18,089
Broadcom,
Ltd.
6,590,184
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
154
Shares
Common
Stock
(99.6%)
Value
Information
Technology
(28.0%)
-
continued
5,173
Broadridge
Financial
Solutions,
Inc.
$
682,836
12,539
Cadence
Design
Systems,
Inc.
a
1,337,034
6,417
CDW
Corporation
767,024
190,402
Cisco
Systems,
Inc.
7,499,935
5,556
Citrix
Systems,
Inc.
765,117
24,388
Cognizant
Technology
Solutions
Corporation
1,693,015
34,216
Corning,
Inc.
1,108,941
11,437
DXC
Technology
Company
204,150
2,743
F5
Networks,
Inc.
a
336,758
27,867
Fidelity
National
Information
Services,
Inc.
4,102,301
24,998
Fiserv,
Inc.
a
2,576,044
3,775
FleetCor
Technologies,
Inc.
a
898,827
5,902
FLIR
Systems,
Inc.
211,587
6,040
Fortinet,
Inc.
a
711,572
4,018
Gartner,
Inc.
a
502,049
13,459
Global
Payments,
Inc.
2,390,049
57,862
Hewlett
Packard
Enterprise
Company
542,167
61,774
HP,
Inc.
1,173,088
191,282
Intel
Corporation
9,904,582
40,055
International
Business
Machines
Corporation
4,873,492
11,775
Intuit,
Inc.
3,841,123
1,599
IPG
Photonics
Corporation
a
271,782
3,451
Jack
Henry
&
Associates,
Inc.
561,098
14,939
Juniper
Networks,
Inc.
321,188
8,417
Keysight
Technologies,
Inc.
a
831,431
6,992
KLA-Tencor
Corporation
1,354,630
6,550
Lam
Research
Corporation
2,172,963
6,011
Leidos
Holdings,
Inc.
535,881
39,730
MasterCard,
Inc.
13,435,494
12,020
Maxim
Integrated
Products,
Inc.
812,672
11,354
Microchip
Technology,
Inc.
1,166,737
49,968
Micron
Technology,
Inc.
a
2,346,497
340,362
Microsoft
Corporation
71,588,339
7,636
Motorola
Solutions,
Inc.
1,197,401
9,969
NetApp,
Inc.
437,041
26,581
NortonLifeLock
,
Inc.
553,948
27,750
NVIDIA
Corporation
15,018,855
86,950
Oracle
Corporation
5,190,915
14,409
Paychex,
Inc.
1,149,406
2,202
Paycom
Software,
Inc.
a
685,483
52,770
PayPal
Holdings,
Inc.
a
10,397,273
5,138
Qorvo
,
Inc.
a
662,853
50,745
QUALCOMM,
Inc.
5,971,672
40,928
Salesforce.com,
Inc.
a
10,286,025
10,038
Seagate
Technology
plc
494,572
8,626
ServiceNow
,
Inc.
a
4,183,610
7,521
Skyworks
Solutions,
Inc.
1,094,306
6,826
Synopsys,
Inc.
a
1,460,627
14,844
TE
Connectivity,
Ltd.
1,450,853
7,467
Teradyne,
Inc.
593,328
41,195
Texas
Instruments,
Inc.
5,882,234
1,810
Tyler
Technologies,
Inc.
a
630,894
4,546
VeriSign,
Inc.
a
931,248
75,830
Visa,
Inc.
15,163,725
13,606
Western
Digital
Corporation
497,299
18,529
Western
Union
Company
397,076
8,048
Xerox
Holdings
Corporation
151,061
10,988
Xilinx,
Inc.
1,145,389
2,399
Zebra
Technologies
Corporation
a
605,652
Total
352,848,245
Shares
Common
Stock
(99.6%)
Value
Materials
(2.1%)
9,935
Air
Products
and
Chemicals,
Inc.
$
2,959,239
4,789
Albemarle
Corporation
427,562
70,544
Amcor
plc
779,511
3,755
Avery
Dennison
Corporation
480,039
14,701
Ball
Corporation
1,221,947
5,329
Celanese
Corporation
572,601
9,635
CF
Industries
Holdings,
Inc.
295,891
33,333
Dow,
Inc.
1,568,318
33,005
DuPont
de
Nemours,
Inc.
1,831,117
6,087
Eastman
Chemical
Company
475,516
11,167
Ecolab,
Inc.
2,231,613
5,835
FMC
Corporation
617,985
65,315
Freeport-McMoRan,
Inc.
1,021,527
4,816
International
Flavors
&
Fragrances,
Inc.
b
589,719
17,680
International
Paper
Company
716,747
11,575
LyondellBasell
Industries
NV
815,922
2,806
Martin
Marietta
Materials,
Inc.
660,420
15,515
Mosaic
Company
283,459
36,119
Newmont
Mining
Corporation
2,291,751
13,568
Nucor
Corporation
608,660
4,265
Packaging
Corporation
of
America
465,098
10,613
PPG
Industries,
Inc.
1,295,635
7,018
Sealed
Air
Corporation
272,369
3,686
Sherwin-Williams
Company
2,568,184
5,966
Vulcan
Materials
Company
808,632
11,685
WestRock
Company
405,937
Total
26,265,399
Real
Estate
(2.6%)
5,275
Alexandria
Real
Estate
Equities,
Inc.
844,000
19,950
American
Tower
Corporation
4,822,513
6,709
Apartment
Investment
&
Management
Company
226,227
6,330
AvalonBay
Communities,
Inc.
945,322
6,370
Boston
Properties,
Inc.
511,511
15,098
CBRE
Group,
Inc.
a
709,153
18,875
Crown
Castle
International
Corporation
3,142,688
12,095
Digital
Realty
Trust,
Inc.
1,775,062
16,666
Duke
Realty
Corporation
614,975
3,983
Equinix
,
Inc.
3,027,598
15,401
Equity
Residential
790,533
2,933
Essex
Property
Trust,
Inc.
588,917
5,805
Extra
Space
Storage,
Inc.
621,077
3,096
Federal
Realty
Investment
Trust
227,370
24,211
Healthpeak
Properties,
Inc.
657,329
31,776
Host
Hotels
&
Resorts,
Inc.
342,863
12,978
Iron
Mountain,
Inc.
347,681
19,489
Kimco
Realty
Corporation
219,446
5,154
Mid-America
Apartment
Communities,
Inc.
597,606
33,227
Prologis,
Inc.
3,343,301
6,840
Public
Storage,
Inc.
1,523,405
15,518
Realty
Income
Corporation
942,719
7,095
Regency
Centers
Corporation
269,752
5,033
SBA
Communications
Corporation
1,602,910
13,774
Simon
Property
Group,
Inc.
890,902
3,295
SL
Green
Realty
Corporation
152,789
13,301
UDR,
Inc.
433,746
16,780
Ventas,
Inc.
704,089
7,050
Vornado
Realty
Trust
237,656
18,768
Welltower
,
Inc.
1,033,929
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
155
Shares
Common
Stock
(99.6%)
Value
Real
Estate
(2.6%)
-
continued
33,564
Weyerhaeuser
Company
$
957,245
Total
33,104,314
Utilities
(3.0%)
29,975
AES
Corporation
542,847
11,247
Alliant
Energy
Corporation
580,908
11,129
Ameren
Corporation
880,081
22,315
American
Electric
Power
Company,
Inc.
1,823,805
8,150
American
Water
Works
Company,
Inc.
1,180,772
5,548
Atmos
Energy
Corporation
530,333
24,550
CenterPoint
Energy,
Inc.
475,043
12,876
CMS
Energy
Corporation
790,715
15,044
Consolidated
Edison,
Inc.
1,170,423
37,786
Dominion
Energy,
Inc.
2,982,449
8,665
DTE
Energy
Company
996,822
33,077
Duke
Energy
Corporation
2,929,299
17,011
Edison
International,
Inc.
864,839
9,005
Entergy
Corporation
887,263
10,223
Evergy
,
Inc.
519,533
15,412
Eversource
Energy
1,287,673
43,829
Exelon
Corporation
1,567,325
24,382
FirstEnergy
Corporation
700,007
22,022
NextEra
Energy,
Inc.
6,112,426
17,258
NiSource,
Inc.
379,676
11,004
NRG
Energy,
Inc.
338,263
5,072
Pinnacle
West
Capital
Corporation
378,118
34,577
PPL
Corporation
940,840
22,747
Public
Service
Enterprise
Group,
Inc.
1,249,038
13,010
Sempra
Energy
1,539,864
47,500
Southern
Company
2,575,450
14,187
WEC
Energy
Group,
Inc.
1,374,720
23,628
Xcel
Energy,
Inc.
1,630,568
Total
37,229,100
Total
Common
Stock
(cost
$627,436,111)
1,253,454,885
Shares
Collateral
Held
for
Securities
Loaned
(
0.2%
)
Value
3,123,421
Thrivent
Cash
Management
Trust
3,123,421
Total
Collateral
Held
for
Securities
Loaned
(cost
$3,123,421)
3,123,421
Shares
or
Principal
Amount
Short-Term
Investments
(
0.4%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
500,000
0.080%,
11/12/2020
c,d
499,959
100,000
0.105%,
11/16/2020
c,d
99,991
Thrivent
Core
Short-Term
Reserve
Fund
395,495
0.310%
3,954,951
Total
Short-Term
Investments
(cost
$4,557,500)
4,554,901
Total
Investments
(cost
$635,117,032)
100.2%
$1,261,133,207
Other
Assets
and
Liabilities,
Net
(0.2%)
(3,134,728)
Total
Net
Assets
100.0%
$1,257,998,479
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
d
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Large
Cap
Index
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
3,073,778
Total
lending
$3,073,778
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$3,123,421
Net
amounts
due
to
counterparty
$49,643
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
156
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
S&P
-
Standard
&
Poor's
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Large
Cap
Index
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
125,416,192
125,416,192
–
–
Consumer
Discretionary
154,749,909
154,749,909
–
–
Consumer
Staples
88,019,683
88,019,683
–
–
Energy
25,785,031
25,785,031
–
–
Financials
121,215,711
121,215,711
–
–
Health
Care
178,315,680
178,315,680
–
–
Industrials
110,505,621
110,505,621
–
–
Information
Technology
352,848,245
352,848,245
–
–
Materials
26,265,399
26,265,399
–
–
Real
Estate
33,104,314
33,104,314
–
–
Utilities
37,229,100
37,229,100
–
–
Short-Term
Investments
599,950
–
599,950
–
Subtotal
Investments
in
Securities
$1,254,054,835
$1,253,454,885
$599,950
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
3,954,951
Collateral
Held
for
Securities
Loaned
3,123,421
Subtotal
Other
Investments
$7,078,372
Total
Investments
at
Value
$1,261,133,207
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
57,616
57,616
–
–
Total
Asset
Derivatives
$57,616
$57,616
$–
$–
The
following
table
presents
Large
Cap
Index
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$599,950
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CME
E-mini
S&P
500
Index
32
December
2020
$
5,305,584
$
57,616
Total
Futures
Long
Contracts
$
5,305,584
$
57,616
Total
Futures
Contracts
$
5,305,584
$57,616
Large
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
157
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Large
Cap
Index
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$6,051
$46,348
$48,457
$3,955
395
0.3%
Total
Affiliated
Short-Term
Investments
6,051
3,955
0.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,403
37,312
35,592
3,123
3,123
0.2
Total
Collateral
Held
for
Securities
Loaned
1,403
3,123
0.2
Total
Value
$7,454
$7,078
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$16
$(3)
–
$54
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$54
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
17
Total
Affiliated
Income
from
Securities
Loaned,
Net
$17
Total
Value
$16
$(3)
$–
Large
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
158
Shares
Common
Stock
(
98.0%
)
Value
Communications
Services
(9.0%)
13,985
Alphabet,
Inc.
a
$
20,552,356
953,298
Comcast
Corporation
44,099,566
594,956
Discovery,
Inc.,
Class
A
a,b
12,952,192
1,037,984
Verizon
Communications,
Inc.
61,749,668
Total
139,353,782
Consumer
Discretionary
(7.3%)
177,348
Aptiv
plc
16,259,264
10,748
AutoZone,
Inc.
a
12,657,275
199,863
D.R.
Horton,
Inc.
15,115,639
263,731
Lowe's
Companies,
Inc.
43,742,424
55,900
Mohawk
Industries,
Inc.
a
5,455,281
263,710
Sony
Corporation
ADR
20,239,742
Total
113,469,625
Consumer
Staples
(4.5%)
83,500
Kimberly-Clark
Corporation
12,329,610
36,163
Lamb
Weston
Holdings,
Inc.
2,396,522
395,111
Wal-Mart
Stores,
Inc.
55,279,980
Total
70,006,112
Energy
(4.7%)
661,176
BP
plc
ADR
11,544,133
197,609
Chevron
Corporation
14,227,848
179,300
ConocoPhillips
5,888,212
462,192
Enterprise
Products
Partners,
LP
7,298,012
147,400
Exxon
Mobil
Corporation
5,060,242
381,706
Halliburton
Company
4,599,557
386,349
Marathon
Oil
Corporation
1,580,167
370,070
Marathon
Petroleum
Corporation
10,857,854
141,428
Pioneer
Natural
Resources
Company
12,161,394
Total
73,217,419
Financials
(20.0%)
365,020
Aflac,
Inc.
13,268,477
275,510
American
International
Group,
Inc.
7,584,790
1,120,197
Bank
of
America
Corporation
26,985,546
344,680
Capital
One
Financial
Corporation
24,768,705
170,434
Chubb,
Ltd.
19,790,796
697,932
Citigroup,
Inc.
30,087,849
130,330
Comerica,
Inc.
4,985,123
216,440
Discover
Financial
Services
12,505,903
35,420
Goldman
Sachs
Group,
Inc.
7,118,357
343,230
Hartford
Financial
Services
Group,
Inc.
12,651,458
438,064
J.P.
Morgan
Chase
&
Company
42,172,421
170,990
Julius
Baer
Group,
Ltd.
7,262,355
317,620
MetLife,
Inc.
11,805,935
509,040
Morgan
Stanley
24,612,084
205,670
Raymond
James
Financial,
Inc.
14,964,549
412,750
Truist
Financial
Corporation
15,705,138
1,077,763
Wells
Fargo
&
Company
25,338,208
292,029
Zions
Bancorporations
NA
8,533,087
Total
310,140,781
Health
Care
(17.3%)
61,010
Anthem,
Inc.
16,386,676
32,629
Becton,
Dickinson
and
Company
7,592,116
57,090
Biogen,
Inc.
a
16,195,291
356,830
Centene
Corporation
a
20,813,894
129,152
Cigna
Holding
Company
21,879,640
229,237
CVS
Health
Corporation
13,387,441
87,820
Gilead
Sciences,
Inc.
5,549,346
333,006
GlaxoSmithKline
plc
ADR
12,534,346
124,740
HCA
Healthcare,
Inc.
15,552,583
Shares
Common
Stock
(98.0%)
Value
Health
Care
(17.3%)
-
continued
311,010
Johnson
&
Johnson
$
46,303,169
368,050
Medtronic
plc
38,247,756
544,842
Merck
&
Company,
Inc.
45,194,644
55,901
Zimmer
Biomet
Holdings,
Inc.
7,610,362
Total
267,247,264
Industrials
(11.9%)
37,140
Boeing
Company
6,137,756
91,770
Carlisle
Companies,
Inc.
11,229,895
659,480
Carrier
Global
Corporation
20,140,519
153,480
CSX
Corporation
11,920,792
435,090
Delta
Air
Lines,
Inc.
13,305,052
130,510
General
Dynamics
Corporation
18,066,499
634,150
Johnson
Controls
International
plc
25,905,028
89,720
Kansas
City
Southern
16,224,068
23,392
L3Harris
Technologies,
Inc.
3,972,897
149,020
Otis
Worldwide
Corporation
9,301,828
97,670
Parker-Hannifin
Corporation
19,762,548
298,040
Raytheon
Technologies
Corporation
17,149,222
61,950
United
Rentals,
Inc.
a
10,810,275
Total
183,926,379
Information
Technology
(13.7%)
133,402
Apple,
Inc.
15,449,286
1,194,000
Cisco
Systems,
Inc.
47,031,660
244,564
Microsoft
Corporation
51,439,146
266,225
Oracle
Corporation
15,893,633
198,100
QUALCOMM,
Inc.
23,312,408
17,864
Samsung
Electronics
Company,
Ltd.
GDR
22,650,192
193,880
Texas
Instruments,
Inc.
27,684,125
56,502
VMware,
Inc.
a,b
8,117,642
Total
211,578,092
Materials
(4.1%)
496,986
Axalta
Coating
Systems,
Ltd.
a
11,018,180
478,920
CF
Industries
Holdings,
Inc.
14,707,633
270,741
Eastman
Chemical
Company
21,150,287
19,010
Martin
Marietta
Materials,
Inc.
4,474,193
256,000
Nucor
Corporation
11,484,160
Total
62,834,453
Real
Estate
(2.2%)
269,854
American
Campus
Communities,
Inc.
9,423,301
65,941
AvalonBay
Communities,
Inc.
9,847,629
169,707
CBRE
Group,
Inc.
a
7,971,138
659,186
Host
Hotels
&
Resorts,
Inc.
7,112,617
Total
34,354,685
Utilities
(3.3%)
201,560
Duke
Energy
Corporation
17,850,154
102,460
Entergy
Corporation
10,095,384
250,754
Exelon
Corporation
8,966,963
259,379
FirstEnergy
Corporation
7,446,771
26,634
NextEra
Energy,
Inc.
7,392,533
Total
51,751,805
Total
Common
Stock
(cost
$1,281,140,373)
1,517,880,397
Large
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
159
Shares
Collateral
Held
for
Securities
Loaned
(
1.4%
)
Value
21,830,571
Thrivent
Cash
Management
Trust
$
21,830,571
Total
Collateral
Held
for
Securities
Loaned
(cost
$21,830,571)
21,830,571
Shares
Registered
Investment
Companies
(
0.1%
)
Value
Unaffiliated (<0.1%)
25,550
Utilities
Select
Sector
SPDR
Fund
b
1,517,159
Total
1,517,159
Total
Registered
Investment
Companies
(cost
$1,550,691)
1,517,159
Shares
Short-Term
Investments
(
1.8%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
2,859,988
0.310%
28,599,882
Total
Short-Term
Investments
(cost
$28,596,615)
28,599,882
Total
Investments
(cost
$1,333,118,250)
101.3%
$1,569,828,009
Other
Assets
and
Liabilities,
Net
(1.3%)
(20,881,652)
Total
Net
Assets
100.0%
$1,548,946,357
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Large
Cap
Value
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
21,283,107
Total
lending
$21,283,107
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$21,830,571
Net
amounts
due
to
counterparty
$547,464
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Large
Cap
Value
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
139,353,782
139,353,782
–
–
Consumer
Discretionary
113,469,625
113,469,625
–
–
Consumer
Staples
70,006,112
70,006,112
–
–
Energy
73,217,419
73,217,419
–
–
Financials
310,140,781
302,878,426
7,262,355
–
Health
Care
267,247,264
267,247,264
–
–
Industrials
183,926,379
183,926,379
–
–
Information
Technology
211,578,092
188,927,900
22,650,192
–
Materials
62,834,453
62,834,453
–
–
Real
Estate
34,354,685
34,354,685
–
–
Utilities
51,751,805
51,751,805
–
–
Registered
Investment
Companies
Unaffiliated
1,517,159
1,517,159
–
–
Subtotal
Investments
in
Securities
$1,519,397,556
$1,489,485,009
$29,912,547
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
28,599,882
Collateral
Held
for
Securities
Loaned
21,830,571
Subtotal
Other
Investments
$50,430,453
Total
Investments
at
Value
$1,569,828,009
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Large
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
160
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Large
Cap
Value
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$32,029
$90,140
$93,554
$28,600
2,860
1.8%
Total
Affiliated
Short-Term
Investments
32,029
28,600
1.8
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
8,485
188,378
175,032
21,831
21,831
1.4
Total
Collateral
Held
for
Securities
Loaned
8,485
21,831
1.4
Total
Value
$40,514
$50,431
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(18)
$3
–
$270
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$270
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
29
Total
Affiliated
Income
from
Securities
Loaned,
Net
$29
Total
Value
$(18)
$3
$–
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
161
Principal
Amount
Long-Term
Fixed
Income
(
97.5%
)
Value
Asset-Backed
Securities
(14.0%)
Aimco
CLO,
Ltd.
$
5,000,000
1.628%,
(LIBOR
3M
+
1.380%),
10/15/2031,
Ser.
2020-11A,
Class
A1
a,b,c
$
5,000,000
Apidos
CLO
XXVI
2,250,000
1.622%,
(LIBOR
3M
+
1.350%),
7/18/2029,
Ser.
2017-26A,
Class
A1B
a,c
2,218,356
Ares
XXXVII
CLO,
Ltd.
3,400,000
1.445%,
(LIBOR
3M
+
1.170%),
10/15/2030,
Ser.
2015-4A,
Class
A1R
a,c
3,372,756
Arkansas
Student
Loan
Authority
3,647,453
1.150%,
(LIBOR
3M
+
0.900%),
11/25/2043,
Ser.
2010-1A
c
3,621,265
Assurant
CLO
III,
Ltd.
4,500,000
1.502%,
(LIBOR
3M
+
1.230%),
10/20/2031,
Ser.
2018-3A,
Class
A
a,c
4,431,757
Axis
Equipment
Finance
Receivables
Trust
1,745,960
2.630%,
6/20/2024,
Ser.
2019-1A,
Class
A2
a
1,780,000
Bank
of
the
West
Auto
Trust
855,255
2.110%,
1/15/2023,
Ser.
2017-1,
Class
A3
a
860,301
BCC
Funding
XIV,
LLC
309,980
2.960%,
6/20/2023,
Ser.
2018-1A,
Class
A2
a
311,139
Benefit
Street
Partners
CLO
IV,
Ltd.
4,950,000
1.522%,
(LIBOR
3M
+
1.250%),
1/20/2029,
Ser.
2014-IVA,
Class
A1RR
a,c
4,925,557
BlueMountain
CLO,
Ltd.
4,235,671
1.502%,
(LIBOR
3M
+
1.230%),
1/20/2029,
Ser.
2013-1A,
Class
A1R2
a,c
4,223,057
1,350,000
1.272%,
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-3A,
Class
A1R
a,c
1,322,476
Business
Jet
Securities,
LLC
406,532
4.335%,
2/15/2033,
Ser.
2018-1,
Class
A
a
407,250
CBAM,
Ltd.
5,000,000
1.555%,
(LIBOR
3M
+
1.280%),
2/12/2030,
Ser.
2019-9A,
Class
A
a,c
4,983,670
CCG
Receivables
Trust
367,776
2.500%,
6/16/2025,
Ser.
2018-1,
Class
A2
a
369,159
Commonbond
Student
Loan
Trust
101,146
3.200%,
6/25/2032,
Ser.
2015-A,
Class
A
a
101,236
758,359
2.550%,
5/25/2041,
Ser.
2017-AGS,
Class
A1
a
777,883
1,702,428
0.648%,
(LIBOR
1M
+
0.500%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
a,c
1,676,893
CoreVest
American
Finance
Trust
1,759,744
3.804%,
6/15/2051,
Ser.
2018-1,
Class
A
a
1,849,001
Credit
Acceptance
Auto
Loan
Trust
1,283,269
3.470%,
5/17/2027,
Ser.
2018-2A,
Class
A
a
1,296,981
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Asset-Backed
Securities
(14.0%)
-
continued
Deephaven
Residential
Mortgage
Trust
$
1,486,123
4.080%,
10/25/2058,
Ser.
2018-4A,
Class
A1
a,c
$
1,496,079
DRB
Prime
Student
Loan
Trust
512,921
2.048%,
(LIBOR
1M
+
1.900%),
10/27/2031,
Ser.
2015-B,
Class
A1
a,c
514,774
Earnest
Student
Loan
Program,
LLC
793,256
2.650%,
1/25/2041,
Ser.
2017-A,
Class
A2
a
804,303
ECMC
Group
Student
Loan
Trust
5,000,000
1.510%,
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
a,c
4,999,996
Education
Funding
Trust
3,444,320
2.790%,
7/25/2041,
Ser.
2020-A,
Class
A
a
3,480,768
Fifth
Third
Auto
Trust
93,058
1.800%,
2/15/2022,
Ser.
2017-1,
Class
A3
93,168
Freedom
ABS
Trust
1,699,855
2.520%,
3/18/2027,
Ser.
2020-FP1,
Class
A
a
1,700,514
Galaxy
XX
CLO,
Ltd.
3,000,000
1.272%,
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-20A,
Class
AR
a,c
2,955,774
Garrison
BSL
CLO,
Ltd.
5,000,000
1.243%,
(LIBOR
3M
+
0.970%),
7/17/2028,
Ser.
2018-3A,
Class
A1
a,c
4,936,475
Genesis
Private
Label
Amortizing
Trust
3,323,807
2.080%,
7/20/2030,
Ser.
2020-1,
Class
A
a
3,327,841
GoldenTree
Loan
Opportunities,
Ltd.
3,000,000
1.570%,
(LIBOR
3M
+
1.300%),
10/29/2029,
Ser.
2014-9A,
Class
AJR2
a,c
2,958,891
Golub
Capital
Partners,
Ltd.
6,000,000
1.422%,
(LIBOR
3M
+
1.150%),
10/20/2028,
Ser.
2018-39A,
Class
A1
a,c
5,947,854
HSI
Asset
Securitization
Corporation
Trust
554,959
0.518%,
(LIBOR
1M
+
0.370%),
1/25/2036,
Ser.
2006-OPT2,
Class
M1
c
555,952
Invitation
Homes
Trust
6,038,240
1.251%,
(LIBOR
1M
+
1.100%),
1/17/2038,
Ser.
2018-SFR4,
Class
A
a,c
6,038,489
Marlette
Funding
Trust
1,235,909
3.440%,
4/16/2029,
Ser.
2019-1A,
Class
A
a
1,248,260
National
Collegiate
Trust
1,249,157
0.443%,
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
a,c
1,212,142
Nationstar
HECM
Loan
Trust
2,447,915
2.272%,
11/25/2029,
Ser.
2019-2A,
Class
A
a,c
2,454,231
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
162
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Asset-Backed
Securities
(14.0%)
-
continued
Navient
Private
Education
Loan
Trust
$
847,356
2.820%,
2/15/2068,
Ser.
2019-CA,
Class
A1
a
$
851,246
Navient
Student
Loan
Trust
819,764
2.180%,
8/15/2068,
Ser.
2019-FA,
Class
A1
a
822,705
2,235,952
0.748%,
(LIBOR
1M
+
0.600%),
7/26/2066,
Ser.
2017-3A,
Class
A2
a,c
2,233,388
1,339,778
0.898%,
(LIBOR
1M
+
0.750%),
7/26/2066,
Ser.
2017-1A,
Class
A2
a,c
1,340,065
Neuberger
Berman
CLO
XIV,
Ltd.
2,500,000
1.277%,
(LIBOR
3M
+
1.030%),
1/28/2030,
Ser.
2013-14A,
Class
AR2
a,c
2,475,020
Neuberger
Berman
CLO,
Ltd.
3,000,000
1.288%,
(LIBOR
3M
+
1.030%),
4/22/2029,
Ser.
2014-17A,
Class
AR2
a,c
2,971,257
NextGear
Floorplan
Master
Owner
Trust
4,000,000
2.560%,
10/17/2022,
Ser.
2017-2A,
Class
A2
a
4,002,230
Northstar
Education
Finance,
Inc.
771,618
0.848%,
(LIBOR
1M
+
0.700%),
12/26/2031,
Ser.
2012-1,
Class
A
a,c
755,599
NRZ
Excess
Spread-Collateralized
Notes
Series
1,758,416
3.193%,
1/25/2023,
Ser.
2018-PLS1,
Class
A
a
1,764,562
OneMain
Financial
Issuance
Trust
860,000
3.840%,
5/14/2032,
Ser.
2020-1A,
Class
A
a
904,455
3,500,000
1.750%,
9/14/2035,
Ser.
2020-2A,
Class
A
a
3,525,519
OZLM
VIII,
Ltd.
4,069,191
1.443%,
(LIBOR
3M
+
1.170%),
10/17/2029,
Ser.
2014-8A,
Class
A1RR
a,c
4,023,905
Pretium
Mortgage
Credit
Partners,
LLC
3,178,893
3.721%,
1/25/2059,
Ser.
2019-CFL1,
Class
A1
a,d
3,172,523
Progress
Residential
Trust
2,997,040
3.422%,
8/17/2035,
Ser.
2019-SFR1,
Class
A
a
3,098,767
2,000,000
2.078%,
6/18/2037,
Ser.
2020-SFR2,
Class
A
a
2,041,930
Residential
Asset
Mortgage
Program
Series
Trust
104,577
0.438%,
(LIBOR
1M
+
0.290%),
8/25/2036,
Ser.
2006-RZ3,
Class
A3
c
104,538
SLM
Student
Loan
Trust
2,602,983
0.548%,
(LIBOR
1M
+
0.400%),
3/25/2025,
Ser.
2010-1,
Class
A
c
2,486,057
Small
Business
Lending
Trust
591,364
2.850%,
7/15/2026,
Ser.
2019-A,
Class
A
a
581,785
1,109,548
2.620%,
12/15/2026,
Ser.
2020-A,
Class
A
a
1,101,566
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Asset-Backed
Securities
(14.0%)
-
continued
SoFi
Consumer
Loan
Program
Trust
$
1,644,551
3.010%,
4/25/2028,
Ser.
2019-2,
Class
A
a
$
1,663,270
652,716
2.020%,
1/25/2029,
Ser.
2020-1,
Class
A
a
659,674
SoFi
Consumer
Loan
Program,
LLC
220,473
2.770%,
5/25/2026,
Ser.
2017-3,
Class
A
a
221,693
SoFi
Professional
Loan
Program,
LLC
401,886
2.510%,
8/25/2033,
Ser.
2015-C,
Class
A2
a
404,887
185,642
0.998%,
(LIBOR
1M
+
0.850%),
7/25/2039,
Ser.
2016-E,
Class
A1
a,c
185,251
Sound
Point
CLO
XX,
Ltd.
4,000,000
1.345%,
(LIBOR
3M
+
1.100%),
7/26/2031,
Ser.
2018-2A,
Class
A
a,c
3,906,336
THL
Credit
Wind
River
CLO,
Ltd.
2,500,000
1.502%,
(LIBOR
3M
+
1.230%),
7/20/2030,
Ser.
2017-2A,
Class
A
a,c
2,474,567
1,500,000
1.652%,
(LIBOR
3M
+
1.430%),
10/20/2033,
Ser.
2020-1A,
Class
A
a,b,c
1,500,000
Upstart
Securitization
Trust
1,703,353
2.897%,
9/20/2029,
Ser.
2019-2,
Class
A
a
1,717,341
2,372,254
2.684%,
1/21/2030,
Ser.
2019-3,
Class
A
a
2,392,114
2,830,860
2.322%,
4/22/2030,
Ser.
2020-1,
Class
A
a
2,851,397
Vericrest
Opportunity
Loan
Transferee
3,042,161
3.352%,
9/25/2049,
Ser.
2019-NPL5,
Class
A1A
a,d
3,045,622
Voya
CLO,
Ltd.
1,248,050
1.475%,
(LIBOR
3M
+
1.200%),
10/15/2030,
Ser.
2012-4A,
Class
A1AR
a,c
1,230,510
Whitebox
Clo
II,
Ltd.
2,250,000
2.192%,
(LIBOR
3M
+
1.950%),
10/24/2031,
Ser.
2020-2A,
Class
A2
a,c
2,250,000
Total
151,014,027
Basic
Materials
(0.9%)
Air
Products
and
Chemicals,
Inc.
775,000
1.500%,
10/15/2025
803,774
DowDuPont,
Inc.
2,000,000
4.205%,
11/15/2023
2,198,420
EI
du
Pont
de
Nemours
&
Company
700,000
1.700%,
7/15/2025
725,881
Glencore
Funding,
LLC
1,500,000
3.000%,
10/27/2022
a
1,551,502
Kinross
Gold
Corporation
1,000,000
5.950%,
3/15/2024
1,140,329
Mosaic
Company
650,000
3.250%,
11/15/2022
679,270
Nucor
Corporation
800,000
2.000%,
6/1/2025
835,397
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
163
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Basic
Materials
(0.9%)
-
continued
Steel
Dynamics,
Inc.
$
775,000
2.400%,
6/15/2025
$
808,446
Syngenta
Finance
NV
1,000,000
4.892%,
4/24/2025
a
1,084,001
Total
9,827,020
Capital
Goods
(1.9%)
Caterpillar
Financial
Services
Corporation
1,420,000
1.950%,
11/18/2022
1,466,538
925,000
0.450%,
9/14/2023
924,971
CNH
Industrial
Capital,
LLC
1,020,000
1.950%,
7/2/2023
1,036,553
General
Electric
Company
795,000
3.450%,
5/15/2024
852,982
Honeywell
International,
Inc.
925,000
1.350%,
6/1/2025
953,214
Huntington
Ingalls
Industries,
Inc.
700,000
3.844%,
5/1/2025
a
769,005
Northrop
Grumman
Corporation
2,000,000
2.550%,
10/15/2022
2,082,525
Otis
Worldwide
Corporation
1,875,000
2.056%,
4/5/2025
1,969,426
PACCAR
Financial
Corporation
1,150,000
2.650%,
4/6/2023
1,212,221
Republic
Services,
Inc.
1,250,000
2.500%,
8/15/2024
1,330,286
Roper
Technologies,
Inc.
1,250,000
3.650%,
9/15/2023
1,358,495
750,000
2.350%,
9/15/2024
793,124
675,000
1.000%,
9/15/2025
676,694
Siemens
Financieringsmaatschappij
NV
2,000,000
0.847%,
(LIBOR
3M
+
0.610%),
3/16/2022
a,c
2,010,660
Textron,
Inc.
2,000,000
3.875%,
3/1/2025
2,191,216
WW
Grainger,
Inc.
875,000
1.850%,
2/15/2025
916,338
Total
20,544,248
Collateralized
Mortgage
Obligations
(15.0%)
Angel
Oak
Mortgage
Trust
4,814,544
1.373%,
5/25/2065,
Ser.
2020-5,
Class
A1
a,c
4,817,156
Angel
Oak
Mortgage
Trust
I,
LLC
1,857,662
3.258%,
4/27/2048,
Ser.
2018-1,
Class
A1
a,c
1,866,694
1,828,634
3.674%,
7/27/2048,
Ser.
2018-2,
Class
A1
a,c
1,857,614
Antler
Mortgage
Trust
2,373,954
4.458%,
6/27/2022,
Ser.
2019-RTL1,
Class
A1
a
2,380,402
1,883,928
4.335%,
7/25/2022,
Ser.
2018-RTL1,
Class
A1
a
1,887,913
Banc
of
America
Funding
Trust
382,295
3.990%,
1/25/2035,
Ser.
2004-D,
Class
4A1
c
386,756
1,527,929
5.750%,
3/25/2036,
Ser.
2006-3,
Class
3A1
1,581,189
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
200,986
2.410%,
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
c
201,730
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Collateralized
Mortgage
Obligations
(15.0%)
-
continued
$
566,349
4.753%,
10/25/2036,
Ser.
2006-4,
Class
1A1
c
$
553,993
Bellemeade
Re,
Ltd.
4,500,000
2.798%,
(LIBOR
1M
+
2.650%),
6/25/2030,
Ser.
2020-1A,
Class
M1A
a,c
4,509,250
BRAVO
Residential
Funding
Trust
1,573,971
3.500%,
3/25/2058,
Ser.
2019-1,
Class
A1C
a
1,625,186
Cascade
Funding
Mortgage
Trust
2,414,107
4.000%,
10/25/2068,
Ser.
2018-RM2,
Class
A
a,c
2,503,789
COLT
Funding,
LLC
1,286,623
2.764%,
8/25/2049,
Ser.
2019-3,
Class
A1
a,c
1,301,204
Countrywide
Alternative
Loan
Trust
233,582
5.500%,
11/25/2035,
Ser.
2005-49CB,
Class
A1
219,216
265,740
5.500%,
2/25/2036,
Ser.
2005-85CB,
Class
2A2
257,696
Credit
Suisse
Mortgage
Capital
Certificates
1,507,615
3.393%,
2/25/2024,
Ser.
2020-BPL1,
Class
A1
a,d
1,508,255
Credit
Suisse
Mortgage
Trust
2,500,000
3.453%,
3/25/2026,
Ser.
2020-BPL2,
Class
A1
a,c,e
2,500,000
Deephaven
Residential
Mortgage
Trust
3,558,983
2.791%,
10/25/2059,
Ser.
2019-4A,
Class
A1
a,c
3,607,942
Ellington
Financial
Mortgage
Trust
1,143,159
4.140%,
10/25/2058,
Ser.
2018-1,
Class
A1FX
a,c
1,171,860
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
1,440,495
3.000%,
8/15/2040,
Ser.
4364,
Class
A
1,479,543
Federal
National
Mortgage
Association
-
REMIC
1,756,770
4.000%,
3/25/2029,
Ser.
2012-74,
Class
V
1,820,872
340,722
3.000%,
1/25/2041,
Ser.
2015-79,
Class
BA
343,570
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
35,180
2.250%,
6/25/2025,
Ser.
2010-58,
Class
PT
35,272
FWD
Securitization
Trust
3,116,362
2.810%,
6/25/2049,
Ser.
2019-INV1,
Class
A1
a,c
3,188,597
GCAT
Trust
2,990,930
2.985%,
2/25/2059,
Ser.
2019-NQM1,
Class
A1
a,d
3,037,330
Genworth
Mortgage
Insurance
Corporation
2,000,000
2.048%,
(LIBOR
1M
+
1.900%),
11/26/2029,
Ser.
2019-1,
Class
M1
a,c
1,958,784
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
164
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Collateralized
Mortgage
Obligations
(15.0%)
-
continued
GMAC
Mortgage
Corporation
Loan
Trust
$
39,813
0.648%,
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
c,f
$
44,369
255,832
5.750%,
10/25/2036,
Ser.
2006-HE3,
Class
A2
c
267,242
GS
Mortgage-Backed
Securities
Trust
2,824,992
3.750%,
10/25/2057,
Ser.
2018-RPL1,
Class
A1A
a
3,006,637
991,307
2.625%,
1/25/2059,
Ser.
2019-SL1,
Class
A1
a,c
1,008,254
1,811,526
1.791%,
9/27/2060,
Ser.
2020-NQM1,
Class
A2
a,c
1,815,500
GSAA
Home
Equity
Trust
844,141
4.539%,
8/25/2034,
Ser.
2004-10,
Class
M2
d
902,731
Homeward
Opportunities
Fund
I
Trust
3,483,392
3.454%,
1/25/2059,
Ser.
2019-1,
Class
A1
a,c
3,542,278
Homeward
Opportunities
Fund
Trust
4,500,000
3.228%,
8/25/2025,
Ser.
2020-BPL1,
Class
A1
a,d
4,499,997
J.P.
Morgan
Alternative
Loan
Trust
999,758
3.771%,
3/25/2036,
Ser.
2006-A1,
Class
2A1
c
920,489
Legacy
Mortgage
Asset
Trust
3,154,499
4.000%,
1/25/2059,
Ser.
2019-GS1,
Class
A1
a
3,209,158
1,452,283
3.250%,
2/25/2060,
Ser.
2020-GS4,
Class
A1
a,d
1,473,133
Long
Beach
Mortgage
Loan
Trust
613,791
1.018%,
(LIBOR
1M
+
0.870%),
2/25/2035,
Ser.
2005-1,
Class
M3
c
613,188
Master
Asset
Securitization
Trust
818,437
0.648%,
(LIBOR
1M
+
0.500%),
6/25/2036,
Ser.
2006-2,
Class
2A2
c
204,199
Merrill
Lynch
Mortgage
Investors
Trust
241,799
1.333%,
(LIBOR
1M
+
1.185%),
7/25/2035,
Ser.
2004-WMC5,
Class
M3
c
241,356
Mortgage
Equity
Conversion
Asset
Trust
2,522,207
0.620%,
(CMT
1Y
+
0.490%),
1/25/2042,
Ser.
2007-FF1,
Class
A
a,c
2,401,977
2,524,170
0.590%,
(CMT
1Y
+
0.470%),
2/25/2042,
Ser.
2007-FF2,
Class
A
a,c
2,415,431
New
Residential
Mortgage
Loan
Trust
1,939,089
4.335%,
7/25/2060,
Ser.
2020-NPL1,
Class
A1
a,d
1,941,410
New
Residential
Mortgage,
LLC
2,307,010
3.790%,
7/25/2054,
Ser.
2018-FNT2,
Class
A
a
2,261,774
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Collateralized
Mortgage
Obligations
(15.0%)
-
continued
Oaktown
Re
II,
Ltd.
$
206,553
1.698%,
(LIBOR
1M
+
1.550%),
7/25/2028,
Ser.
2018-1A,
Class
M1
a,c
$
205,940
Preston
Ridge
Partners
Mortgage
Trust,
LLC
3,750,000
2.857%,
9/25/2025,
Ser.
2020-3A1
b,d
3,749,937
978,487
4.500%,
1/25/2024,
Ser.
2019-1A,
Class
A1
a,d
985,985
1,887,038
3.967%,
4/25/2024,
Ser.
2019-2A,
Class
A1
a,d
1,902,779
3,465,104
3.500%,
10/25/2024,
Ser.
2019-GS1,
Class
A1
a,c
3,469,596
896,543
3.351%,
11/25/2024,
Ser.
2019-4A,
Class
A1
a,d
898,745
1,784,136
2.981%,
2/25/2025,
Ser.
2020-1A,
Class
A1
a,d
1,777,596
Pretium
Mortgage
Credit
Partners,
LLC
3,494,016
2.858%,
5/27/2059,
Ser.
2020-NPL1,
Class
A1
a,d
3,467,239
Radnor
RE,
Ltd.
176,634
1.548%,
(LIBOR
1M
+
1.400%),
3/25/2028,
Ser.
2018-1,
Class
M1
a,c
176,311
RCO
Mortgage,
LLC
3,441,494
3.475%,
11/25/2024,
Ser.
2019-2,
Class
A1
a,d
3,433,546
2,864,345
4.270%,
12/26/2053,
Ser.
2018-VFS1,
Class
A1
a,c
3,011,724
Residential
Asset
Securitization
Trust
575,188
5.750%,
2/25/2036,
Ser.
2005-A15,
Class
5A1
394,744
Residential
Funding
Mortgage
Security
I
Trust
248,881
5.500%,
10/25/2021,
Ser.
2006-S10,
Class
2A1
238,531
Silver
Hill
Trust
3,966,801
3.102%,
11/25/2049,
Ser.
2019-SBC1,
Class
A1
a,c
4,031,453
Specialty
Underwriting
and
Residential
Finance
Trust
3,069,670
1.148%,
(LIBOR
1M
+
1.000%),
7/25/2035,
Ser.
2004-BC3,
Class
A2C
c
2,857,143
3,211,878
1.128%,
(LIBOR
1M
+
0.980%),
10/25/2035,
Ser.
2004-BC4,
Class
A2C
c
3,128,162
Stanwich
Mortgage
Loan
Trust
2,924,397
3.475%,
11/16/2024,
Ser.
2019-NPB2,
Class
A1
a,d
2,901,256
Starwood
Mortgage
Residential
Trust
2,209,387
4.121%,
10/25/2048,
Ser.
2018-IMC2,
Class
A1
a,c
2,285,279
2,593,894
2.718%,
4/25/2060,
Ser.
2020-2,
Class
A1
a,c
2,604,112
Terwin
Mortgage
Trust
1,402,919
1.148%,
(LIBOR
1M
+
1.000%),
12/25/2034,
Ser.
2004-21HE,
Class
2M2
a,c
1,393,740
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
165
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Collateralized
Mortgage
Obligations
(15.0%)
-
continued
Toorak
Mortgage
Corporation
$
3,196,598
4.336%,
8/25/2021,
Ser.
2018-1,
Class
A1
a,d
$
3,214,549
5,250,000
4.458%,
3/25/2022,
Ser.
2019-1,
Class
A1
a,d
5,371,584
1,500,000
3.721%,
9/25/2022,
Ser.
2019-2,
Class
A1
1,528,321
2,500,000
2.734%,
3/25/2023,
Ser.
2020-1,
Class
A1
a,d
2,508,791
TVC
Mortgage
Trust
2,800,000
3.474%,
9/25/2024,
Ser.
2020-RTL1,
Class
A1
a
2,850,247
Vericrest
Opportunity
Loan
Transferee
2,313,933
2.981%,
3/25/2050,
Ser.
2020-NPL4,
Class
A1
a,d
2,309,060
1,144,115
3.352%,
8/25/2049,
Ser.
2019-NPL4,
Class
A1A
a,d
1,145,254
2,500,000
4.090%,
11/25/2049,
Ser.
2019-NPL8,
Class
A1B
a,d
2,463,872
2,777,894
3.327%,
11/26/2049,
Ser.
2019-NPL9,
Class
A1A
a,d
2,784,796
2,000,000
4.090%,
11/26/2049,
Ser.
2019-NPL9,
Class
A1B
a,d
1,980,541
2,232,546
3.426%,
12/27/2049,
Ser.
2019-NP10,
Class
A1A
a,d
2,233,363
Verus
Securitization
Trust
2,144,474
3.836%,
2/25/2059,
Ser.
2019-1,
Class
A1
a,c
2,173,601
2,861,375
3.211%,
5/25/2059,
Ser.
2019-2,
Class
A1
a,c
2,925,761
3,051,874
2.913%,
7/25/2059,
Ser.
2019-INV2,
Class
A1
a,c
3,121,260
1,417,943
1.977%,
3/25/2060,
Ser.
2020-INV1,
Class
A1
a,c
1,433,366
1,617,912
2.226%,
5/25/2060,
Ser.
2020-2,
Class
A1
a,c
1,633,010
Wachovia
Asset
Securitization,
Inc.
373,238
0.312%,
(LIBOR
1M
+
0.140%),
7/25/2037,
Ser.
2007-HE1,
Class
A
a,c,f
323,586
Wachovia
Mortgage
Loan
Trust,
LLC
236,217
3.898%,
5/20/2036,
Ser.
2006-A,
Class
2A1
c
233,729
WaMu
Mortgage
Pass
Through
Certificates
1,735,441
2.051%,
(12
MTA
+
0.880%),
10/25/2046,
Ser.
2006-AR13,
Class
1A
c
1,558,874
Total
162,078,319
Commercial
Mortgage-Backed
Securities
(0.7%)
BFLD
Trust
3,000,000
1.350%,
(LIBOR
1M
+
1.150%),
10/15/2022,
Ser.
2020-EYP,
Class
A
a,b,c
3,000,000
Federal
National
Mortgage
Association
-
ACES
1,402,960
3.560%,
9/25/2021,
Ser.
2018-M5,
Class
A2
c
1,415,527
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Commercial
Mortgage-Backed
Securities
(0.7%)
-
continued
GSAA
Home
Equity
Trust
$
1,025,867
2.098%,
(LIBOR
1M
+
1.950%),
5/25/2034,
Ser.
2004-4,
Class
M2
c
$
1,081,709
Morgan
Stanley
BAML
Trust
2,000,000
2.918%,
2/15/2046,
Ser.
2013-C7,
Class
A4
2,075,843
Total
7,573,079
Communications
Services
(1.9%)
American
Tower
Corporation
1,500,000
3.375%,
5/15/2024
1,623,858
AT&T,
Inc.
2,000,000
1.155%,
(LIBOR
3M
+
0.890%),
2/15/2023
c
2,017,235
Charter
Communications
Operating,
LLC
1,875,000
4.500%,
2/1/2024
2,078,731
Cox
Communications,
Inc.
1,500,000
3.150%,
8/15/2024
a
1,614,299
Crown
Castle
International
Corporation
1,000,000
3.200%,
9/1/2024
1,078,294
Discovery
Communications,
LLC
1,050,000
2.950%,
3/20/2023
1,106,080
Fox
Corporation
1,000,000
3.666%,
1/25/2022
1,042,331
940,000
3.050%,
4/7/2025
1,029,118
Omnicom
Group,
Inc.
1,242,000
3.625%,
5/1/2022
1,300,689
Sprint
Corporation
1,610,000
7.125%,
6/15/2024
1,852,482
T-Mobile
USA,
Inc.
1,900,000
3.500%,
4/15/2025
a
2,084,718
Vodafone
Group
PLC
1,875,000
2.950%,
2/19/2023
1,970,967
Walt
Disney
Company
1,165,000
1.750%,
1/13/2026
1,210,320
Total
20,009,122
Consumer
Cyclical
(3.8%)
Alibaba
Group
Holding,
Ltd.
500,000
2.800%,
6/6/2023
526,182
Amazon.com,
Inc.
2,100,000
0.800%,
6/3/2025
2,118,701
American
Honda
Finance
Corporation
950,000
1.950%,
5/10/2023
983,344
910,000
0.650%,
9/8/2023
909,683
930,000
1.200%,
7/8/2025
936,770
BMW
U.S.
Capital,
LLC
2,000,000
3.150%,
4/18/2024
a
2,144,602
D.R.
Horton,
Inc.
800,000
2.600%,
10/15/2025
857,751
Daimler
Finance
North
America,
LLC
875,000
1.750%,
3/10/2023
a
892,285
1,000,000
1.089%,
(LIBOR
3M
+
0.840%),
5/4/2023
a,c
995,967
Ford
Motor
Credit
Company,
LLC
1,000,000
1.515%,
(LIBOR
3M
+
1.235%),
2/15/2023
c
920,189
1,840,000
3.370%,
11/17/2023
1,812,400
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
166
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Consumer
Cyclical
(3.8%)
-
continued
General
Motors
Financial
Company,
Inc.
$
1,900,000
3.950%,
4/13/2024
$
2,010,001
1,420,000
2.900%,
2/26/2025
1,462,947
925,000
2.750%,
6/20/2025
947,496
Harley-Davidson
Financial
Services,
Inc.
511,000
4.050%,
2/4/2022
a
528,070
Home
Depot,
Inc.
1,900,000
4.400%,
4/1/2021
1,919,384
Hyundai
Capital
America
1,140,000
1.800%,
10/15/2025
a
1,133,713
Hyundai
Capital
Services,
Inc.
1,000,000
3.000%,
3/6/2022
a
1,025,200
1,500,000
3.000%,
8/29/2022
a
1,552,482
Kohl's
Corporation
1,090,000
9.500%,
5/15/2025
1,286,015
Lennar
Corporation
990,000
4.875%,
12/15/2023
1,064,374
350,000
5.875%,
11/15/2024
391,125
Lowe's
Companies,
Inc.
700,000
4.000%,
4/15/2025
793,337
Marriott
International,
Inc.
1,150,000
3.600%,
4/15/2024
1,182,413
686,000
3.750%,
10/1/2025
704,426
Nissan
Motor
Company,
Ltd.
675,000
3.043%,
9/15/2023
a
684,206
Ralph
Lauren
Corporation
700,000
1.700%,
6/15/2022
712,551
Starbucks
Corporation
900,000
1.300%,
5/7/2022
911,643
Target
Corporation
940,000
2.250%,
4/15/2025
1,003,562
TJX
Companies,
Inc.
1,175,000
3.500%,
4/15/2025
1,310,388
Toyota
Motor
Credit
Corporation
1,375,000
0.500%,
8/14/2023
1,375,332
925,000
1.800%,
2/13/2025
966,221
VF
Corporation
900,000
2.050%,
4/23/2022
922,619
Volkswagen
Group
of
America
Finance,
LLC
2,000,000
4.250%,
11/13/2023
a
2,197,398
1,500,000
2.850%,
9/26/2024
a
1,594,035
Total
40,776,812
Consumer
Non-Cyclical
(5.5%)
Abbott
Laboratories
1,263,000
2.550%,
3/15/2022
1,303,937
AbbVie,
Inc.
1,900,000
2.300%,
11/21/2022
a
1,966,101
2,000,000
3.850%,
6/15/2024
a
2,190,845
1,920,000
3.600%,
5/14/2025
2,127,644
Altria
Group,
Inc.
2,000,000
3.800%,
2/14/2024
2,185,734
Amgen,
Inc.
1,320,000
1.900%,
2/21/2025
1,380,216
Anthem,
Inc.
1,025,000
2.375%,
1/15/2025
1,088,868
AstraZeneca
plc
1,550,000
0.700%,
4/8/2026
1,519,870
BAT
International
Finance
plc
2,500,000
1.668%,
3/25/2026
2,507,890
Becton,
Dickinson
and
Company
2,050,000
3.125%,
11/8/2021
2,107,681
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Consumer
Non-Cyclical
(5.5%)
-
continued
Boston
Scientific
Corporation
$
1,840,000
3.450%,
3/1/2024
$
1,993,177
Bristol-Myers
Squibb
Company
2,000,000
3.625%,
5/15/2024
2,203,667
Bunge,
Ltd.
Finance
Corporation
1,100,000
1.630%,
8/17/2025
1,104,571
Cargill,
Inc.
1,000,000
3.250%,
3/1/2023
a
1,057,790
800,000
1.375%,
7/23/2023
a
818,252
Centene
Corporation
1,825,000
5.375%,
8/15/2026
a
1,932,994
CK
Hutchison
International,
Ltd.
2,000,000
2.750%,
3/29/2023
a
2,071,038
Coca-Cola
Company
900,000
2.950%,
3/25/2025
987,466
Conagra
Brands,
Inc.
1,750,000
4.300%,
5/1/2024
1,952,222
Constellation
Brands,
Inc.
1,000,000
2.700%,
5/9/2022
1,032,377
500,000
3.200%,
2/15/2023
528,631
CVS
Health
Corporation
755,000
3.700%,
3/9/2023
808,723
241,000
4.100%,
3/25/2025
272,293
Diageo
Capital
plc
600,000
1.375%,
9/29/2025
614,769
General
Mills,
Inc.
1,500,000
1.283%,
(LIBOR
3M
+
1.010%),
10/17/2023
c
1,516,263
Gilead
Sciences,
Inc.
1,375,000
0.750%,
9/29/2023
1,377,798
Imperial
Brands
Finance
plc
1,750,000
3.125%,
7/26/2024
a
1,850,268
Imperial
Tobacco
Finance
plc
1,500,000
3.750%,
7/21/2022
a
1,567,200
Mondelez
International,
Inc.
775,000
2.125%,
4/13/2023
804,352
Mylan
NV
975,000
3.150%,
6/15/2021
990,697
Nestle
Holdings,
Inc.
1,145,000
0.375%,
1/15/2024
a
1,140,273
Novartis
Capital
Corporation
2,100,000
1.750%,
2/14/2025
2,198,429
PepsiCo,
Inc.
1,400,000
2.250%,
3/19/2025
1,498,872
Philip
Morris
International,
Inc.
900,000
1.125%,
5/1/2023
913,753
Royalty
Pharma
plc
1,175,000
1.200%,
9/2/2025
a
1,171,281
Smithfield
Foods,
Inc.
2,000,000
2.650%,
10/3/2021
a
2,012,367
Thermo
Fisher
Scientific,
Inc.
700,000
4.133%,
3/25/2025
797,527
Unilever
Capital
Corporation
915,000
0.375%,
9/14/2023
916,588
UnitedHealth
Group,
Inc.
1,000,000
3.500%,
2/15/2024
1,098,216
Upjohn,
Inc.
700,000
1.650%,
6/22/2025
a
716,398
Zimmer
Biomet
Holdings,
Inc.
1,500,000
0.977%,
(LIBOR
3M
+
0.750%),
3/19/2021
c
1,500,258
Zoetis,
Inc.
1,450,000
3.250%,
2/1/2023
1,529,842
Total
59,357,138
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
167
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Energy
(3.6%)
BP
Capital
Markets
America,
Inc.
$
1,500,000
0.877%,
(LIBOR
3M
+
0.650%),
9/19/2022
c
$
1,502,038
1,000,000
3.790%,
2/6/2024
1,096,469
Canadian
Natural
Resources,
Ltd.
1,400,000
2.050%,
7/15/2025
1,428,258
Chevron
Corporation
1,275,000
1.141%,
5/11/2023
1,299,570
Continental
Resources,
Inc.
1,900,000
4.500%,
4/15/2023
1,811,479
Devon
Energy
Corporation
1,150,000
5.850%,
12/15/2025
1,288,537
Diamondback
Energy,
Inc.
950,000
2.875%,
12/1/2024
961,708
Encana
Corporation
1,000,000
3.900%,
11/15/2021
999,907
Energy
Transfer
Operating,
LP
1,660,000
4.200%,
9/15/2023
1,749,182
950,000
2.900%,
5/15/2025
954,942
EOG
Resources,
Inc.
1,025,000
2.625%,
3/15/2023
1,067,718
Equinor
ASA
925,000
2.875%,
4/6/2025
1,005,334
Exxon
Mobil
Corporation
1,785,000
0.618%,
(LIBOR
3M
+
0.370%),
3/6/2022
c
1,792,917
1,100,000
2.992%,
3/19/2025
1,204,684
Hess
Corporation
2,000,000
3.500%,
7/15/2024
2,045,681
Marathon
Oil
Corporation
1,000,000
2.800%,
11/1/2022
1,024,290
Marathon
Petroleum
Corporation
1,325,000
3.400%,
12/15/2020
1,329,124
MPLX,
LP
500,000
3.500%,
12/1/2022
523,995
1,500,000
4.875%,
6/1/2025
1,700,244
1,100,000
1.750%,
3/1/2026
1,097,500
National
Fuel
Gas
Company
1,370,000
5.500%,
1/15/2026
1,495,215
Newfield
Exploration
Company
1,000,000
5.750%,
1/30/2022
1,005,692
550,000
5.625%,
7/1/2024
534,943
Noble
Energy,
Inc.
1,015,000
3.900%,
11/15/2024
1,110,384
ONEOK,
Inc.
1,000,000
2.750%,
9/1/2024
1,024,075
Petroleos
Mexicanos
1,092,500
2.378%,
4/15/2025
1,138,087
Plains
All
American
Pipeline,
LP
2,000,000
3.850%,
10/15/2023
2,093,073
Schlumberger
Finance
Canada,
Ltd.
225,000
1.400%,
9/17/2025
226,175
Schlumberger
Holdings
Corporation
1,500,000
3.750%,
5/1/2024
a
1,627,811
Suncor
Energy,
Inc.
930,000
2.800%,
5/15/2023
974,900
Transcontinental
Gas
Pipe
Line
Company,
LLC
600,000
7.850%,
2/1/2026
777,019
Williams
Partners,
LP
1,325,000
3.600%,
3/15/2022
1,370,771
Total
39,261,722
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Financials
(16.9%)
AerCap
Ireland
Capital
DAC
$
375,000
6.500%,
7/15/2025
$
404,759
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
1,000,000
3.300%,
1/23/2023
1,003,380
1,375,000
3.150%,
2/15/2024
1,363,430
Ally
Financial,
Inc.
1,000,000
1.450%,
10/2/2023
997,508
American
International
Group,
Inc.
1,150,000
3.300%,
3/1/2021
1,161,039
1,050,000
2.500%,
6/30/2025
1,122,136
Athene
Global
Funding
2,000,000
1.534%,
(LIBOR
3M
+
1.230%),
7/1/2022
a,c
2,015,252
Australia
and
New
Zealand
Banking
Group,
Ltd.
1,890,000
2.950%,
7/22/2030
a,c
1,958,475
Aviation
Capital
Group,
LLC
950,000
5.500%,
12/15/2024
a
979,979
Avolon
Holdings
Funding,
Ltd.
900,000
5.500%,
1/15/2026
a
903,474
Banco
Bilbao
Vizcaya
Argentaria
SA
1,400,000
0.875%,
9/18/2023
1,398,338
Banco
Santander
Mexico
SA
320,000
5.375%,
4/17/2025
a
355,840
Banco
Santander
SA
800,000
1.386%,
(LIBOR
3M
+
1.120%),
4/12/2023
c
803,573
Bank
of
America
Corporation
500,000
2.816%,
7/21/2023
c
519,186
1,775,000
4.200%,
8/26/2024
1,976,383
1,000,000
3.458%,
3/15/2025
c
1,083,778
1,125,000
0.981%,
9/25/2025
c
1,124,727
1,900,000
2.456%,
10/22/2025
c
2,003,576
1,275,000
1.319%,
6/19/2026
c
1,282,682
Bank
of
Montreal
1,500,000
3.300%,
2/5/2024
1,624,784
Bank
of
New
York
Mellon
Corporation
1,885,000
1.850%,
1/27/2023
1,944,855
900,000
1.600%,
4/24/2025
934,334
700,000
4.700%,
9/20/2025
c,g
742,700
Bank
of
New
Zealand
875,000
2.000%,
2/21/2025
a
915,872
Bank
of
Nova
Scotia
1,175,000
1.950%,
2/1/2023
1,214,337
1,050,000
1.625%,
5/1/2023
1,076,924
935,000
4.900%,
6/4/2025
c,g
967,725
Barclays
plc
1,250,000
3.250%,
1/12/2021
1,259,846
1,000,000
3.684%,
1/10/2023
1,030,853
2,000,000
1.660%,
(LIBOR
3M
+
1.380%),
5/16/2024
c
2,005,448
BNP
Paribas
SA
960,000
2.819%,
11/19/2025
a,c
1,012,699
BPCE
SA
1,000,000
1.476%,
(LIBOR
3M
+
1.220%),
5/22/2022
a,c
1,011,007
950,000
2.375%,
1/14/2025
a
987,693
Branch
Banking
and
Trust
Company
1,800,000
2.150%,
12/6/2024
1,905,531
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
168
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Financials
(16.9%)
-
continued
Canadian
Imperial
Bank
of
Commerce
$
1,875,000
2.250%,
1/28/2025
$
1,977,160
Capital
One
Bank
USA
NA
1,875,000
2.014%,
1/27/2023
c
1,906,762
Capital
One
Financial
Corporation
1,500,000
3.900%,
1/29/2024
1,632,484
Charles
Schwab
Corporation
400,000
5.375%,
6/1/2025
c,g
433,420
Citigroup,
Inc.
1,500,000
1.205%,
(LIBOR
3M
+
0.960%),
4/25/2022
c
1,514,610
1,890,000
2.312%,
11/4/2022
c
1,926,877
1,800,000
4.000%,
8/5/2024
1,978,006
925,000
3.106%,
4/8/2026
c
994,530
Comerica,
Inc.
750,000
3.700%,
7/31/2023
812,287
585,000
5.625%,
7/1/2025
c,g
614,250
Compass
Bank
1,500,000
2.875%,
6/29/2022
1,545,472
Cooperatieve
Rabobank
UA
1,625,000
1.339%,
6/24/2026
a,c
1,644,706
Corporate
Office
Properties,
LP
450,000
2.250%,
3/15/2026
455,048
Credit
Agricole
SA
935,000
1.907%,
6/16/2026
a,c
956,024
Credit
Suisse
AG
675,000
2.800%,
4/8/2022
698,942
Credit
Suisse
Group
AG
1,500,000
6.500%,
8/8/2023
a
1,698,750
990,000
7.500%,
12/11/2023
a,c,g
1,079,100
1,050,000
2.193%,
6/5/2026
a,c
1,084,183
Danske
Bank
AS
915,000
1.171%,
12/8/2023
a,c
915,064
1,500,000
5.375%,
1/12/2024
a
1,686,963
Deutsche
Bank
AG
910,000
2.222%,
9/18/2024
c
915,973
Discover
Bank
1,250,000
2.450%,
9/12/2024
1,318,545
Fifth
Third
Bancorp
1,185,000
2.875%,
10/1/2021
1,212,787
1,900,000
2.375%,
1/28/2025
2,011,792
First
Horizon
National
Corporation
1,325,000
3.550%,
5/26/2023
1,394,192
First
Republic
Bank
940,000
1.912%,
2/12/2024
c
966,093
FNB
Corporation
1,315,000
2.200%,
2/24/2023
1,326,650
GE
Capital
Funding,
LLC
875,000
3.450%,
5/15/2025
a
936,698
Goldman
Sachs
Group,
Inc.
940,000
3.500%,
4/1/2025
1,037,147
1,915,000
3.272%,
9/29/2025
c
2,072,908
272,000
4.250%,
10/21/2025
309,016
HCP,
Inc.
1,175,000
4.250%,
11/15/2023
1,285,810
HSBC
Holdings
plc
2,000,000
3.262%,
3/13/2023
c
2,067,967
1,500,000
6.250%,
3/23/2023
c,g
1,509,375
1,325,000
1.645%,
4/18/2026
c
1,321,265
Huntington
Bancshares,
Inc.
1,550,000
3.150%,
3/14/2021
1,566,596
ING
Groep
NV
2,600,000
1.368%,
(LIBOR
3M
+
1.150%),
3/29/2022
c
2,625,255
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Financials
(16.9%)
-
continued
$
500,000
4.625%,
1/6/2026
a
$
586,304
Intercontinental
Exchange,
Inc.
1,150,000
0.700%,
6/15/2023
1,153,019
J.P.
Morgan
Chase
&
Company
1,250,000
4.051%,
(LIBOR
3M
+
3.800%),
2/1/2021
c,g
1,236,719
925,000
1.514%,
6/1/2024
c
945,009
1,750,000
3.875%,
9/10/2024
1,935,653
1,500,000
1.123%,
(LIBOR
3M
+
0.850%),
1/10/2025
c
1,511,890
800,000
2.005%,
3/13/2026
c
830,606
900,000
2.083%,
4/22/2026
c
939,993
Kilroy
Realty,
LP
750,000
3.800%,
1/15/2023
780,518
450,000
4.375%,
10/1/2025
496,723
Lincoln
National
Corporation
1,000,000
4.000%,
9/1/2023
1,091,622
Lloyds
Banking
Group
plc
1,500,000
2.858%,
3/17/2023
c
1,541,927
2,000,000
2.907%,
11/7/2023
c
2,078,673
925,000
7.500%,
6/27/2024
c,g
970,094
350,000
4.582%,
12/10/2025
385,033
Macquarie
Group,
Ltd.
1,500,000
1.276%,
(LIBOR
3M
+
1.020%),
11/28/2023
a,c
1,503,420
Mitsubishi
UFJ
Financial
Group,
Inc.
1,121,000
1.309%,
(LIBOR
3M
+
1.060%),
9/13/2021
c
1,129,531
1,400,000
1.176%,
(LIBOR
3M
+
0.920%),
2/22/2022
c
1,412,853
875,000
2.193%,
2/25/2025
916,257
Mizuho
Financial
Group
Cayman
3,
Ltd.
825,000
4.600%,
3/27/2024
a
904,951
Mizuho
Financial
Group,
Inc.
1,325,000
1.389%,
(LIBOR
3M
+
1.140%),
9/13/2021
c
1,337,051
1,500,000
2.555%,
9/13/2025
c
1,576,236
Morgan
Stanley
1,000,000
3.885%,
(LIBOR
3M
+
3.610%),
1/15/2021
c,g
943,750
1,800,000
4.100%,
5/22/2023
1,945,540
750,000
2.720%,
7/22/2025
c
796,695
1,750,000
5.000%,
11/24/2025
2,052,689
National
Bank
of
Canada
950,000
2.100%,
2/1/2023
982,072
National
Securities
Clearing
Corporation
1,350,000
1.200%,
4/23/2023
a
1,373,749
Nationwide
Building
Society
2,000,000
3.766%,
3/8/2024
a,c
2,125,188
New
York
Life
Global
Funding
950,000
2.000%,
1/22/2025
a
998,756
Nomura
Holdings,
Inc.
1,890,000
2.648%,
1/16/2025
1,989,907
PayPal
Holdings,
Inc.
1,000,000
2.200%,
9/26/2022
1,033,771
1,000,000
2.400%,
10/1/2024
1,059,360
Peachtree
Corners
Funding
Trust
1,375,000
3.976%,
2/15/2025
a
1,514,178
Realty
Income
Corporation
2,000,000
3.250%,
10/15/2022
2,097,726
Regions
Financial
Corporation
925,000
2.250%,
5/18/2025
975,637
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
169
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Financials
(16.9%)
-
continued
Reinsurance
Group
of
America,
Inc.
$
2,000,000
4.700%,
9/15/2023
$
2,208,190
Royal
Bank
of
Canada
1,900,000
1.950%,
1/17/2023
1,963,707
900,000
1.600%,
4/17/2023
923,554
Royal
Bank
of
Scotland
Group
plc
2,000,000
1.750%,
(LIBOR
3M
+
1.470%),
5/15/2023
c
2,008,585
1,000,000
3.498%,
5/15/2023
c
1,035,638
Santander
Holdings
USA,
Inc.
1,000,000
3.400%,
1/18/2023
1,046,900
350,000
3.450%,
6/2/2025
373,504
Santander
UK
Group
Holdings
plc
750,000
3.125%,
1/8/2021
755,324
925,000
1.532%,
8/21/2026
c
909,870
Santander
UK
plc
950,000
2.100%,
1/13/2023
980,318
Simon
Property
Group,
LP
1,600,000
2.500%,
7/15/2021
1,617,297
Skandinaviska
Enskilda
Banken
AB
1,155,000
0.550%,
9/1/2023
a
1,155,601
Societe
Generale
SA
1,800,000
2.625%,
10/16/2024
a
1,864,431
Stadshypotek
AB
2,000,000
2.500%,
4/5/2022
a
2,064,297
Standard
Chartered
plc
1,175,000
3.950%,
1/11/2023
a
1,220,234
State
Street
Corporation
250,000
2.825%,
3/30/2023
a,c
258,665
1,415,000
2.354%,
11/1/2025
c
1,497,519
Sumitomo
Mitsui
Financial
Group,
Inc.
1,700,000
2.448%,
9/27/2024
1,796,398
Sumitomo
Mitsui
Trust
Bank,
Ltd.
1,150,000
0.800%,
9/12/2023
a
1,152,107
SunTrust
Banks,
Inc.
775,000
2.900%,
3/3/2021
781,984
Synchrony
Financial
250,000
2.850%,
7/25/2022
257,500
1,485,000
4.250%,
8/15/2024
1,613,417
Synovus
Bank
940,000
2.289%,
2/10/2023
c
951,330
Toronto-Dominion
Bank
1,375,000
0.750%,
9/11/2025
1,370,891
Truist
Financial
Corporation
675,000
4.950%,
9/1/2025
c,g
710,437
U.S.
Bank
NA
1,800,000
2.050%,
1/21/2025
1,900,700
UBS
AG
450,000
1.750%,
4/21/2022
a
458,142
UBS
Group
AG
1,375,000
1.008%,
7/30/2024
a,c
1,378,006
USB
Realty
Corporation
95,000
1.422%,
(LIBOR
3M
+
1.147%),
1/15/2022
a,c,g
76,950
Ventas
Realty,
LP
2,000,000
3.100%,
1/15/2023
2,079,411
VEREIT
Operating
Partnership,
LP
200,000
4.600%,
2/6/2024
214,530
440,000
4.625%,
11/1/2025
486,057
Voya
Financial,
Inc.
500,000
5.650%,
5/15/2053
c
513,750
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Financials
(16.9%)
-
continued
Wells
Fargo
&
Company
$
750,000
3.450%,
2/13/2023
$
794,807
1,500,000
3.750%,
1/24/2024
1,629,546
1,525,000
1.654%,
6/2/2024
c
1,553,031
1,890,000
2.406%,
10/30/2025
c
1,980,141
Westpac
Banking
Corporation
945,000
2.000%,
1/13/2023
979,558
500,000
2.000%,
1/16/2025
a
529,235
940,000
2.894%,
2/4/2030
c
973,991
Total
181,743,483
Foreign
Government
(0.2%)
Sinopec
Group
Overseas
Development
2018,
Ltd.
2,050,000
2.150%,
5/13/2025
a
2,116,994
Total
2,116,994
Mortgage-Backed
Securities
(11.8%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
1,864,496
3.000%,
3/25/2050
1,955,085
Federal
Home
Loan
Mortgage
Corporation
Whole
Loan
Securities
Trust
936,601
3.500%,
5/25/2047,
Ser.
2017-SC02,
Class
2A1
f
942,036
Federal
National
Mortgage
Association
585,785
3.500%,
10/1/2048
618,937
688,485
3.500%,
8/1/2049
729,027
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
5,050,000
1.500%,
10/1/2035
b
5,165,598
34,750,000
2.000%,
10/1/2035
b
36,107,422
33,900,000
2.500%,
10/1/2035
b
35,393,719
23,375,000
2.000%,
11/1/2035
b
24,278,827
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
7,203,000
2.500%,
10/1/2050
b
7,554,709
7,000,000
2.500%,
11/1/2050
b
7,326,688
212,570
3.347%,
(LIBOR
12M
+
1.489%),
1/1/2043
c
218,844
1,409,683
4.000%,
7/1/2048
1,503,540
5,600,000
3.000%,
10/1/2049
b
5,866,219
Total
127,660,651
Technology
(2.5%)
Baidu,
Inc.
880,000
3.075%,
4/7/2025
935,194
Broadcom
Corporation
2,000,000
3.125%,
1/15/2025
2,133,150
Broadcom,
Inc.
1,250,000
2.250%,
11/15/2023
1,299,455
Dell
International,
LLC/
EMC
Corporation
1,500,000
4.000%,
7/15/2024
a
1,620,648
340,000
5.850%,
7/15/2025
a
396,721
Fiserv,
Inc.
2,000,000
2.750%,
7/1/2024
2,138,044
Global
Payments,
Inc.
875,000
2.650%,
2/15/2025
928,429
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
170
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Technology
(2.5%)
-
continued
Hewlett
Packard
Enterprise
Company
$
1,750,000
3.500%,
10/5/2021
$
1,799,774
950,000
4.450%,
10/2/2023
1,044,629
Intel
Corporation
900,000
3.400%,
3/25/2025
1,008,183
Intuit,
Inc.
1,625,000
0.950%,
7/15/2025
1,640,200
Marvell
Technology
Group,
Ltd.
1,000,000
4.200%,
6/22/2023
1,079,578
Micron
Technology,
Inc.
1,050,000
2.497%,
4/24/2023
1,090,305
NXP
Funding,
LLC
1,342,000
2.700%,
5/1/2025
a
1,420,465
Oracle
Corporation
1,055,000
2.500%,
4/1/2025
1,130,483
Panasonic
Corporation
1,000,000
2.536%,
7/19/2022
a
1,031,886
1,000,000
2.679%,
7/19/2024
a
1,066,503
Seagate
HDD
Cayman
1,232,000
4.750%,
1/1/2025
1,352,323
Tencent
Holdings,
Ltd.
875,000
1.810%,
1/26/2026
a
892,087
Texas
Instruments,
Inc.
500,000
1.375%,
3/12/2025
517,309
Total
System
Services,
Inc.
925,000
3.750%,
6/1/2023
991,679
VMware,
Inc.
1,000,000
2.950%,
8/21/2022
1,041,077
Total
26,558,122
Transportation
(1.9%)
Air
Canada
Pass
Through
Trust
929,988
3.875%,
3/15/2023
a
799,948
Air
Lease
Corporation
1,750,000
3.500%,
1/15/2022
1,795,272
1,500,000
4.250%,
2/1/2024
1,557,019
Aircastle,
Ltd.
1,500,000
4.400%,
9/25/2023
1,488,691
American
Airlines
Pass
Through
Trust
611,927
3.700%,
5/1/2023
424,433
Avolon
Holdings
Funding,
Ltd.
1,500,000
3.950%,
7/1/2024
a
1,424,854
British
Airways
plc
982,376
4.625%,
6/20/2024
a
945,459
Continental
Airlines,
Inc.
2,130,274
4.150%,
4/11/2024
2,087,122
ERAC
USA
Finance,
LLC
1,600,000
2.600%,
12/1/2021
a
1,627,773
J.B.
Hunt
Transport
Services,
Inc.
1,175,000
3.300%,
8/15/2022
1,223,127
Penske
Truck
Leasing
Company,
LP
750,000
3.650%,
7/29/2021
a
767,513
1,000,000
2.700%,
11/1/2024
a
1,060,707
1,000,000
3.950%,
3/10/2025
a
1,112,046
Ryder
System,
Inc.
1,000,000
3.400%,
3/1/2023
1,060,725
Southwest
Airlines
Company
1,975,000
4.750%,
5/4/2023
2,109,023
TTX
Company
800,000
4.125%,
10/1/2023
a
874,214
Total
20,357,926
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
U.S.
Government
&
Agencies
(13.6%)
Federal
Home
Loan
Bank
$
6,500,000
2.500%,
2/13/2024
$
6,990,299
3,000,000
1.500%,
8/15/2024
3,147,342
Federal
Home
Loan
Mortgage
Corporation
2,000,000
0.250%,
8/24/2023
2,000,173
Federal
National
Mortgage
Association
3,000,000
2.875%,
9/12/2023
3,231,404
3,125,000
0.875%,
8/5/2030
3,073,293
U.S.
Treasury
Bonds
1,325,000
2.250%,
11/15/2027
1,489,486
1,335,000
5.500%,
8/15/2028
1,849,236
17,250,000
2.625%,
2/15/2029
20,144,766
6,100,000
1.500%,
2/15/2030
6,579,422
U.S.
Treasury
Notes
645,000
1.125%,
8/31/2021
650,644
1,500,000
1.125%,
2/28/2022
1,520,742
1,500,000
1.875%,
7/31/2022
1,547,695
1,585,000
2.000%,
11/30/2022
1,648,648
6,000,000
1.375%,
2/15/2023
6,173,906
7,350,000
2.750%,
7/31/2023
7,887,756
17,345,000
2.500%,
1/31/2024
18,681,107
3,575,000
1.250%,
8/31/2024
3,718,978
29,800,000
1.375%,
1/31/2025
31,259,734
2,000,000
2.875%,
7/31/2025
2,249,844
17,125,000
2.625%,
1/31/2026
19,215,454
U.S.
Treasury
Notes,
TIPS
3,130,101
0.125%,
10/15/2024
3,321,820
Total
146,381,749
Utilities
(3.3%)
Ameren
Corporation
750,000
2.500%,
9/15/2024
794,266
American
Electric
Power
Company,
Inc.
1,000,000
3.650%,
12/1/2021
1,035,440
Berkshire
Hathaway
Energy
Company
1,575,000
4.050%,
4/15/2025
a
1,796,621
CenterPoint
Energy,
Inc.
1,750,000
3.850%,
2/1/2024
1,916,849
DTE
Energy
Company
1,500,000
3.700%,
8/1/2023
1,621,449
1,500,000
2.529%,
10/1/2024
1,594,303
Duke
Energy
Corporation
915,000
0.900%,
9/15/2025
916,473
Edison
International
1,420,000
2.950%,
3/15/2023
h
1,456,835
Enel
Finance
International
NV
2,000,000
2.750%,
4/6/2023
a
2,089,666
Entergy
Corporation
870,000
0.900%,
9/15/2025
868,792
Exelon
Corporation
1,250,000
3.497%,
6/1/2022
1,307,423
Exelon
Generation
Company,
LLC
815,000
3.250%,
6/1/2025
890,810
Florida
Power
&
Light
Company
1,150,000
2.850%,
4/1/2025
1,261,041
Georgia
Power
Company
950,000
2.100%,
7/30/2023
991,636
ITC
Holdings
Corporation
1,500,000
2.700%,
11/15/2022
1,564,394
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
171
Principal
Amount
Long-Term
Fixed
Income
(97.5%)
Value
Utilities
(3.3%)
-
continued
Jersey
Central
Power
&
Light
Company
$
1,500,000
4.300%,
1/15/2026
a
$
1,714,455
National
Rural
Utilities
Cooperative
Finance
Corporation
1,150,000
4.750%,
4/30/2043
c
1,184,536
NiSource,
Inc.
1,250,000
5.650%,
6/15/2023
c,g
1,240,625
920,000
0.950%,
8/15/2025
918,850
PPL
Capital
Funding,
Inc.
1,580,000
3.500%,
12/1/2022
1,665,833
Public
Service
Enterprise
Group,
Inc.
2,000,000
2.875%,
6/15/2024
2,139,681
Sempra
Energy
1,875,000
3.550%,
6/15/2024
2,029,753
Southern
Company
1,500,000
2.950%,
7/1/2023
1,593,904
900,000
4.000%,
1/15/2051
c
902,496
WEC
Energy
Group,
Inc.
1,140,000
0.550%,
9/15/2023
1,142,908
Xcel
Energy,
Inc.
1,350,000
0.500%,
10/15/2023
1,348,536
Total
35,987,575
Total
Long-Term
Fixed
Income
(cost
$1,024,519,948)
1,051,247,987
Shares
Registered
Investment
Companies
(
0.6%
)
Value
Unaffiliated (0.6%)
78,500
Vanguard
Short-Term
Corporate
Bond
ETF
6,503,725
Total
6,503,725
Total
Registered
Investment
Companies
(cost
$6,259,441)
6,503,725
Shares
Preferred
Stock
(
0.1%
)
Value
Financials
(0.1%)
66,000
Citigroup
Capital
XIII,
6.638%
c
1,780,680
Total
1,780,680
Total
Preferred
Stock
(cost
$1,821,600)
1,780,680
Shares
Collateral
Held
for
Securities
Loaned
(
0.1%
)
Value
769,378
Thrivent
Cash
Management
Trust
769,378
Total
Collateral
Held
for
Securities
Loaned
(cost
$769,378)
769,378
Shares
or
Principal
Amount
Short-Term
Investments
(
13.7%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
500,000
0.080%,
10/28/2020
i,j
499,977
200,000
0.080%,
11/12/2020
i,j
199,984
600,000
0.055%,
12/9/2020
i,j
599,896
Thrivent
Core
Short-Term
Reserve
Fund
14,548,808
0.310%
145,488,073
Shares
or
Principal
Amount
Short-Term
Investments
(13.7%)
Value
U.S.
Treasury
Bills
200,000
0.105%,
11/19/2020
i,k
$
199,975
100,000
0.085%,
12/3/2020
i,k
99,983
400,000
0.084%,
12/17/2020
i,l
399,919
Total
Short-Term
Investments
(cost
$147,494,661)
147,487,807
Total
Investments
(cost
$1,180,865,028)
112.0%
$1,207,789,577
Other
Assets
and
Liabilities,
Net
(12.0%)
(129,794,399)
Total
Net
Assets
100.0%
$1,077,995,178
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$389,517,828
or
36.1%
of
total
net
assets.
b
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
c
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
d
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
30,
2020.
e
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
f
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
g
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
h
All
or
a
portion
of
the
security
is
on
loan.
i
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
j
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
k
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
l
At
September
30,
2020,
$319,935
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
172
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Limited
Maturity
Bond
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
749,962
Total
lending
$749,962
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$769,378
Net
amounts
due
to
counterparty
$19,416
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
HECM
-
Home
Equity
Conversion
Mortgage
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
Ser.
-
Series
TIPS
-
Treasury
Inflation
Protected
Security
Reference
Rate
Index:
12
MTA
-
12
Month
Treasury
Average
CMT
1Y
-
Constant
Maturity
Treasury
Yield
1
Year
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
LIBOR
12M
-
ICE
Libor
USD
Rate
12
Month
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
173
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Limited
Maturity
Bond
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Asset-Backed
Securities
151,014,027
–
151,014,027
–
Basic
Materials
9,827,020
–
9,827,020
–
Capital
Goods
20,544,248
–
20,544,248
–
Collateralized
Mortgage
Obligations
162,078,319
–
159,578,319
2,500,000
Commercial
Mortgage-Backed
Securities
7,573,079
–
7,573,079
–
Communications
Services
20,009,122
–
20,009,122
–
Consumer
Cyclical
40,776,812
–
40,776,812
–
Consumer
Non-Cyclical
59,357,138
–
59,357,138
–
Energy
39,261,722
–
39,261,722
–
Financials
181,743,483
–
181,743,483
–
Foreign
Government
2,116,994
–
2,116,994
–
Mortgage-Backed
Securities
127,660,651
–
127,660,651
–
Technology
26,558,122
–
26,558,122
–
Transportation
20,357,926
–
20,357,926
–
U.S.
Government
&
Agencies
146,381,749
–
146,381,749
–
Utilities
35,987,575
–
35,987,575
–
Registered
Investment
Companies
Unaffiliated
6,503,725
6,503,725
–
–
Preferred
Stock
Financials
1,780,680
1,780,680
–
–
Short-Term
Investments
1,999,734
–
1,999,734
–
Subtotal
Investments
in
Securities
$1,061,532,126
$8,284,405
$1,050,747,721
$2,500,000
Other
Investments *
Total
Affiliated
Short-Term
Investments
145,488,073
Collateral
Held
for
Securities
Loaned
769,378
Subtotal
Other
Investments
$146,257,451
Total
Investments
at
Value
$1,207,789,577
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
48,992
48,992
–
–
Total
Asset
Derivatives
$48,992
$48,992
$–
$–
Liability
Derivatives
Futures
Contracts
188,769
188,769
–
–
Credit
Default
Swaps
1,666
–
1,666
–
Total
Liability
Derivatives
$190,435
$188,769
$1,666
$–
The
following
table
presents
Limited
Maturity
Bond
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$1,299,858
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
398
December
2020
$
87,921,909
$
20,545
CME
Ultra
Long
Term
U.S.
Treasury
Bond
13
December
2020
2,897,818
(
14,255)
Total
Futures
Long
Contracts
$
90,819,727
$
6,290
CBOT
10-Yr.
U.S.
Treasury
Note
(162)
December
2020
(
$
22,578,309)
(
$
25,753)
CBOT
5-Yr.
U.S.
Treasury
Note
(1,000)
December
2020
(
125,911,240)
(
120,010)
CBOT
U.S.
Long
Bond
(19)
December
2020
(
3,377,791)
28,447
Ultra
10-Yr.
U.S.
Treasury
Note
(73)
December
2020
(
11,645,546)
(
28,751)
Total
Futures
Short
Contracts
(
$
163,512,886)
($146,067)
Total
Futures
Contracts
(
$
72,693,159)
($139,777)
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
174
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
The
following
table
presents
Limited
Maturity
Bond
Portfolio's
swaps
contracts
held
as
of
September
30,
2020.
Investments
totaling
$299,958
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
35,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2025
$
2,500,000
$
–
(
$
1,666)
(
$
1,666)
Total
Credit
Default
Swaps
$–
($1,666)
($1,666)
1
As
the
buyer
of
protection,
Limited
Maturity
Bond
Portfolio
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Limited
Maturity
Bond
Portfolio
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Limited
Maturity
Bond
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Limited
Maturity
Bond
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$36,822
$315,780
$207,031
$145,488
14,549
13.5%
Total
Affiliated
Short-Term
Investments
36,822
145,488
13.5
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
220
57,073
56,524
769
769
0.1
Total
Collateral
Held
for
Securities
Loaned
220
769
0.1
Total
Value
$37,042
$146,257
Limited
Maturity
Bond
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
175
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(76)
$(7)
–
$482
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$482
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
9
Total
Affiliated
Income
from
Securities
Loaned,
Net
$9
Total
Value
$(76)
$(7)
$–
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
176
Shares
Common
Stock
(
99.1%
)
Value
Communications
Services
(10.7%)
15
Alphabet,
Inc.,
Class
A
a
$
21,984
2,769
Auto
Trader
Group
plc
b
20,104
1,700
Avex,
Inc.
15,864
2,983
BCE,
Inc.
123,706
3,874
Carsales.com,
Ltd.
58,035
12,082
Deutsche
Telekom
AG
201,167
2,603
Elisa
Oyj
153,034
382,000
HKT
Trust
and
HKT,
Ltd.
507,032
1,700
KDDI
Corporation
42,758
29,563
Koninklijke
(Royal)
KPN
NV
69,365
222
Match
Group,
Inc.
a
24,564
3,900
Nippon
Telegraph
&
Telephone
Corporation
79,625
26,900
NTT
DOCOMO,
Inc.
988,471
62,208
Pacific
Century
Premium
Developments,
Ltd.
a
16,404
576,000
PCCW,
Ltd.
344,576
1,481
Rogers
Communications,
Inc.
58,748
19,500
SKY
Perfect
JSAT
Holdings,
Inc.
85,223
54,700
SoftBank
Corporation
611,236
610
Take-Two
Interactive
Software,
Inc.
a
100,784
12,969
Telefonica
Deutschland
Holding
AG
33,146
2,007
Telenet
Group
Holding
NV
77,901
2,490
T-Mobile
US,
Inc.
a
284,756
16,278
Verizon
Communications,
Inc.
968,378
Total
4,886,861
Consumer
Discretionary
(5.3%)
3,600
ABC-MART,
Inc.
187,438
26
Amazon.com,
Inc.
a
81,867
4,900
Aoyama
Trading
Company,
Ltd.
a
25,815
252
AutoZone,
Inc.
a
296,765
556
Dollar
General
Corporation
116,549
6,919
Domino's
Pizza
Group
plc
32,561
129
Domino's
Pizza,
Inc.
54,861
1,900
Doutor
Nichires
Holdings
Company,
Ltd.
28,869
92
Hermes
International
79,236
1,543
Home
Depot,
Inc.
428,507
3,617
McDonald's
Corporation
793,895
7,000
Nissan
Motor
Company,
Ltd.
a
24,756
7,300
Onward
Holdings
Company,
Ltd.
18,912
110
O'Reilly
Automotive,
Inc.
a
50,719
4,200
Sangetsu
Company,
Ltd.
64,749
1,400
Sankyo
Company,
Ltd.
36,660
1,300
Yum!
Brands,
Inc.
118,690
Total
2,440,849
Consumer
Staples
(16.5%)
1,111
Carlsberg
AS
149,676
1,277
Church
&
Dwight
Company,
Inc.
119,668
1,663
Clorox
Company
349,513
7,449
Coca-Cola
Company
367,757
5,214
Colgate-Palmolive
Company
402,260
635
Costco
Wholesale
Corporation
225,425
1,849
Hershey
Company
265,036
5,581
Hormel
Foods
Corporation
272,855
26,000
Japan
Tobacco,
Inc.
474,338
713
Kellogg
Company
46,053
553
Kerry
Group
plc
70,832
1,146
Kimberly-Clark
Corporation
169,218
7,654
Koninklijke
Ahold
Delhaize
NV
226,238
45
Lindt
&
Spruengli
AG
379,844
1,019
Loblaw
Companies,
Ltd.
53,363
Shares
Common
Stock
(99.1%)
Value
Consumer
Staples
(16.5%)
-
continued
1,354
McCormick
&
Company,
Inc.
$
262,811
1,481
Mondelez
International,
Inc.
85,083
590
Monster
Beverage
Corporation
a
47,318
6,482
Nestle
SA
771,436
10,961
Orkla
ASA
110,624
6,410
PepsiCo,
Inc.
888,426
5,540
Procter
&
Gamble
Company
770,005
7,900
Seven
&
I
Holdings
Company,
Ltd.
245,454
859
Unilever
NV
52,165
4,922
Wal-Mart
Stores,
Inc.
688,637
1,226
Woolworths,
Ltd.
32,058
Total
7,526,093
Energy
(0.5%)
66,900
Eneos
Holdings,
Inc.
238,690
Total
238,690
Financials
(9.3%)
2,100
AEON
Financial
Service
Company,
Ltd.
19,143
289
Alleghany
Corporation
150,410
374
Allstate
Corporation
35,208
1,873
Aon
plc
386,400
4,422
Arthur
J.
Gallagher
&
Company
466,875
376
ASX,
Ltd.
21,983
366
Baloise
Holding
AG
53,884
1,342
Berkshire
Hathaway,
Inc.
a
285,765
349
Cboe
Global
Markets,
Inc.
30,621
1,518
Chubb,
Ltd.
176,270
507
CI
Financial
Corporation
6,431
946
Cincinnati
Financial
Corporation
73,760
1,089
CME
Group,
Inc.
182,201
1,181
Deutsche
Boerse
AG
207,055
175
Erie
Indemnity
Company
36,799
37
FactSet
Research
Systems,
Inc.
12,391
4,000
Hang
Seng
Bank,
Ltd.
59,259
790
Intact
Financial
Corporation
84,592
15,227
Israel
Discount
Bank,
Ltd.
41,078
5,500
Japan
Post
Bank
Company,
Ltd.
42,899
145
Markel
Corporation
a
141,186
59
MarketAxess
Holdings,
Inc.
28,414
4,896
Marsh
&
McLennan
Companies,
Inc.
561,571
1,931
Mizrahi
Tefahot
Bank,
Ltd.
34,252
426
National
Bank
of
Canada
21,160
472
RenaissanceRe
Holdings,
Ltd.
80,117
1,117
Ringkjoebing
Landbobank
AS
84,788
3,418
Royal
Bank
of
Canada
239,983
391
St.
Galler
Kantonalbank
AG
168,146
10,551
Toronto-Dominion
Bank
488,505
Total
4,221,146
Health
Care
(15.0%)
1,018
Abbott
Laboratories
110,789
165
Amgen,
Inc.
41,936
2,049
Baxter
International,
Inc.
164,781
75
Bio-Rad
Laboratories,
Inc.
a
38,660
1,420
Coloplast
AS
225,054
2,804
Danaher
Corporation
603,785
2,234
Eli
Lilly
and
Company
330,677
6,596
Gilead
Sciences,
Inc.
416,801
11,668
GlaxoSmithKline
plc
218,747
5,129
Johnson
&
Johnson
763,606
176
Masimo
Corporation
a
41,547
3,345
Medtronic
plc
347,612
7,551
Merck
&
Company,
Inc.
626,355
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
177
Shares
Common
Stock
(99.1%)
Value
Health
Care
(15.0%)
-
continued
23
Mettler
-Toledo
International,
Inc.
a
$
22,212
3,631
Novartis
AG
315,259
5,788
Novo
Nordisk
AS
401,019
1,023
Regeneron
Pharmaceuticals,
Inc.
a
572,655
1,923
Roche
Holding
AG
658,705
300
Sawai
Pharmaceutical
Company,
Ltd.
15,137
397
Sonova
Holding
AG
a
100,606
862
Stryker
Corporation
179,615
104
Tecan
Group
AG
51,721
3,100
Toho
Holdings
Company,
Ltd.
66,850
795
UnitedHealth
Group,
Inc.
247,857
972
Vertex
Pharmaceuticals,
Inc.
a
264,501
Total
6,826,487
Industrials
(11.3%)
631
AMETEK,
Inc.
62,721
2,301
C.H.
Robinson
Worldwide,
Inc.
235,139
909
Geberit
AG
537,787
809
General
Dynamics
Corporation
111,990
1,402
Honeywell
International,
Inc.
230,783
8,100
Itochu
Enex
Company,
Ltd.
74,811
13,300
Kamigumi
Company,
Ltd.
262,081
20,900
Kandenko
Company,
Ltd.
170,718
500
Kintetsu
Group
Holdings
Company,
Ltd.
21,338
1,671
Landstar
System,
Inc.
209,694
121
Lennox
International,
Inc.
32,986
939
Lockheed
Martin
Corporation
359,900
45,700
Marubeni
Corporation
259,457
1,100
Max
Company,
Ltd.
16,558
10,400
Mitsubishi
Corporation
248,928
600
Mitsui
&
Company,
Ltd.
10,310
11,400
Nikkon
Holdings
Company,
Ltd.
247,137
3,300
Nishimatsu
Construction
Company,
Ltd.
65,550
9,450
RELX
plc
210,340
5,705
Republic
Services,
Inc.
532,562
795
SEEK,
Ltd.
12,264
1,300
Sumitomo
Corporation
15,671
18,400
Takasago
Thermal
Engineering
Company,
Ltd.
264,267
285
Union
Pacific
Corporation
56,108
1,990
Verisk
Analytics,
Inc.
368,767
1,168
Waste
Connections,
Inc.
121,238
3,526
Waste
Management,
Inc.
399,037
600
Yuasa
Trading
Company,
Ltd.
18,750
Total
5,156,892
Information
Technology
(14.0%)
2,232
Accenture
plc
504,410
823
Adobe,
Inc.
a
403,624
2,448
Amphenol
Corporation
265,045
299
Arista
Networks,
Inc.
a
61,872
1,558
Automatic
Data
Processing,
Inc.
217,325
636
Broadridge
Financial
Solutions,
Inc.
83,952
1,700
Canon
Electronics,
Inc.
23,825
12,600
Canon,
Inc.
208,991
4,472
CGI,
Inc.
a
303,540
2,827
Cisco
Systems,
Inc.
111,356
1,921
Citrix
Systems,
Inc.
264,541
800
DTS
Corporation
17,025
544
Fiserv,
Inc.
a
56,059
624
Intuit,
Inc.
203,555
1,327
Jack
Henry
&
Associates,
Inc.
215,757
Shares
Common
Stock
(99.1%)
Value
Information
Technology
(14.0%)
-
continued
700
Kanematsu
Electronics,
Ltd.
$
28,432
1,549
Keysight
Technologies,
Inc.
a
153,010
1,710
MasterCard,
Inc.
578,271
2,634
Microsoft
Corporation
554,009
2,239
Motorola
Solutions,
Inc.
351,098
700
NSD
Company,
Ltd.
13,749
391
Oracle
Corporation
23,343
7,451
Paychex,
Inc.
594,366
4,200
Ryosan
Company,
Ltd.
84,205
1,314
Synopsys,
Inc.
a
281,170
1,594
Telefonaktiebolaget
LM
Ericsson
17,444
1,361
Texas
Instruments,
Inc.
194,337
1,001
Tyler
Technologies,
Inc.
a
348,909
452
VeriSign,
Inc.
a
92,592
751
Visa,
Inc.
150,177
Total
6,405,989
Materials
(6.0%)
3,441
Agnico
Eagle
Mines,
Ltd.
274,158
18,175
Barrick
Gold
Corporation
510,491
169
Croda
International
plc
13,633
3,177
Franco-Nevada
Corporation
443,446
8
Givaudan
SA
34,542
2,554
Newcrest
Mining,
Ltd.
57,914
10,999
Newmont
Mining
Corporation
697,887
8,800
Nippon
Steel
Trading
Corporation
251,392
484
Symrise
AG
66,852
30,900
Toray
Industries,
Inc.
141,368
5,482
Wheaton
Precious
Metals
Corporation
269,002
Total
2,760,685
Real
Estate
(4.5%)
842
American
Tower
Corporation
203,537
161,732
Ascendas
REIT
387,014
634
Camden
Property
Trust
56,413
301
Crown
Castle
International
Corporation
50,116
2,300
Daito
Trust
Construction
Company,
Ltd.
203,883
138,900
Mapletree
Commercial
Trust
199,540
38
Mori
Trust
Sogo
REIT,
Inc.
48,065
230
Public
Storage,
Inc.
51,226
13,722
Quebecor,
Inc.
343,269
3,074
Realty
Income
Corporation
186,745
3,015
Swiss
Prime
Site
AG
273,821
1,348
UDR,
Inc.
43,958
Total
2,047,587
Utilities
(6.0%)
1,375
Ameren
Corporation
108,735
4,290
American
Electric
Power
Company,
Inc.
350,622
7,992
Consolidated
Edison,
Inc.
621,778
2,963
DTE
Energy
Company
340,863
1,093
Duke
Energy
Corporation
96,796
1,522
Enagas
SA
35,118
13,141
Enel
SPA
114,011
1,907
NextEra
Energy,
Inc.
529,307
2,588
Southern
Company
140,321
1,127
WEC
Energy
Group,
Inc.
109,206
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
178
Shares
Common
Stock
(99.1%)
Value
Utilities
(6.0%)
-
continued
4,143
Xcel
Energy,
Inc.
$
285,908
Total
2,732,665
Total
Common
Stock
(cost
$41,066,646)
45,243,944
Shares
or
Principal
Amount
Short-Term
Investments
(
0.3%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
100,000
0.085%,
11/4/2020
c,d
99,993
Thrivent
Core
Short-Term
Reserve
Fund
3,969
0.310%
39,686
Total
Short-Term
Investments
(cost
$139,678)
139,679
Total
Investments
(cost
$41,206,324)
99.4%
$45,383,623
Other
Assets
and
Liabilities,
Net
0.6%
254,724
Total
Net
Assets
100.0%
$45,638,347
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$20,104
or
0.0%
of
total
net
assets.
c
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
d
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
Definitions:
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Low
Volatility
Equity
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
4,886,861
1,400,466
3,486,395
–
Consumer
Discretionary
2,440,849
1,941,853
498,996
–
Consumer
Staples
7,526,093
4,960,065
2,566,028
–
Energy
238,690
–
238,690
–
Financials
4,221,146
2,647,988
1,573,158
–
Health
Care
6,826,487
4,773,389
2,053,098
–
Industrials
5,156,892
2,720,925
2,435,967
–
Information
Technology
6,405,989
5,708,778
697,211
–
Materials
2,760,685
1,410,335
1,350,350
–
Real
Estate
2,047,587
591,995
1,455,592
–
Utilities
2,732,665
2,583,536
149,129
–
Short-Term
Investments
99,993
–
99,993
–
Subtotal
Investments
in
Securities
$45,343,937
$28,739,330
$16,604,607
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
39,686
Subtotal
Other
Investments
$39,686
Total
Investments
at
Value
$45,383,623
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
295
295
–
–
Total
Asset
Derivatives
$295
$295
$–
$–
Low
Volatility
Equity
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
179
Reference
Description:
MSCI
-
Morgan
Stanley
Capital
International
The
following
table
presents
Low
Volatility
Equity
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$99,993
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
Eurex
MSCI
World
Index
3
December
2020
$
211,535
$
295
Total
Futures
Long
Contracts
$
211,535
$
295
Total
Futures
Contracts
$
211,535
$295
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Low
Volatility
Equity
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1,587
$8,738
$10,284
$40
4
0.1%
Total
Affiliated
Short-Term
Investments
1,587
40
0.1
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
360
1,387
1,747
–
–
–
Total
Collateral
Held
for
Securities
Loaned
360
–
–
Total
Value
$1,947
$40
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(1)
$–
–
$3
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$3
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
0
Total
Affiliated
Income
from
Securities
Loaned,
Net
$0
Total
Value
$(1)
$–
$–
Mid
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
180
Shares
Common
Stock
(
96.6%
)
Value
Communications
Services
(3.7%)
3,707
Live
Nation
Entertainment,
Inc.
a
$
199,733
775
RingCentral,
Inc.
a
212,823
790
Take-Two
Interactive
Software,
Inc.
a
130,524
Total
543,080
Consumer
Discretionary
(13.3%)
1,967
Aptiv
plc
180,335
1,152
Bright
Horizons
Family
Solutions,
Inc.
a
175,150
944
Burlington
Stores,
Inc.
a
194,549
2,440
Chewy,
Inc.
a
133,785
161
Chipotle
Mexican
Grill,
Inc.
a
200,237
486
Domino's
Pizza,
Inc.
206,686
569
Etsy,
Inc.
a
69,208
1,198
Five
Below,
Inc.
a
152,146
29
NVR,
Inc.
a
118,411
1,575
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
137,576
2,665
Planet
Fitness,
Inc.
a
164,217
677
TopBuild
Corporation
a
115,557
485
Ulta
Beauty,
Inc.
a
108,630
Total
1,956,487
Consumer
Staples
(2.3%)
724
Casey's
General
Stores,
Inc.
128,618
1,403
Lamb
Weston
Holdings,
Inc.
92,977
1,500
Monster
Beverage
Corporation
a
120,300
Total
341,895
Energy
(0.4%)
1,179
Concho
Resources,
Inc.
52,018
Total
52,018
Financials
(4.2%)
1,225
Arthur
J.
Gallagher
&
Company
129,336
866
First
Republic
Bank
94,446
1,766
Interactive
Brokers
Group,
Inc.
85,351
526
MSCI,
Inc.
187,666
515
SVB
Financial
Group
a
123,919
Total
620,718
Health
Care
(22.4%)
4,087
ACADIA
Pharmaceuticals,
Inc.
a
168,589
873
Agilent
Technologies,
Inc.
88,120
1,378
Agios
Pharmaceuticals,
Inc.
a
48,230
470
Argenx
SE
ADR
a
123,384
1,070
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
69,561
625
Bio-Techne
Corporation
154,831
2,797
Catalent,
Inc.
a
239,591
729
Dexcom,
Inc.
a
300,516
489
Global
Blood
Therapeutics,
Inc.
a
26,963
2,238
Guardant
Health,
Inc.
a
250,164
978
Insulet
Corporation
a
231,385
1,493
LHC
Group,
Inc.
a
317,352
627
MyoKardia,
Inc.
a
85,479
1,305
Nevro
Corporation
a
181,786
1,241
PRA
Health
Sciences,
Inc.
a
125,887
430
Sarepta
Therapeutics,
Inc.
a
60,385
693
Teleflex,
Inc.
235,911
1,209
Veeva
Systems,
Inc.
a
339,959
1,359
Zoetis,
Inc.
224,738
377
Zymeworks,
Inc.
a
17,561
Total
3,290,392
Shares
Common
Stock
(96.6%)
Value
Industrials
(14.5%)
2,766
A.O.
Smith
Corporation
$
146,045
1,874
ASGN,
Inc.
a
119,111
1,615
BWX
Technologies,
Inc.
90,941
1,223
Copart,
Inc.
a
128,611
633
Generac
Holdings,
Inc.
a
122,574
1,577
IDEX
Corporation
287,661
888
Mercury
Systems,
Inc.
a
68,784
334
Nordson
Corporation
64,068
1,144
Old
Dominion
Freight
Line,
Inc.
206,972
490
Roper
Industries,
Inc.
193,604
4,006
Southwest
Airlines
Company
150,225
1,413
Toro
Company
118,621
1,670
Trex
Company,
Inc.
a
119,572
1,845
United
Rentals,
Inc.
a
321,953
Total
2,138,742
Information
Technology
(28.3%)
1,956
Amphenol
Corporation
211,776
2,337
Anaplan,
Inc.
a
146,249
815
Atlassian
Corporation
plc
a
148,159
752
Coupa
Software,
Inc.
a
206,229
1,477
DocuSign,
Inc.
a
317,910
3,438
Elastic
NV
a
370,926
275
EPAM
Systems,
Inc.
a
88,902
1,400
Euronet
Worldwide,
Inc.
a
127,540
1,645
Global
Payments,
Inc.
292,119
997
Guidewire
Software,
Inc.
a
103,957
499
Lam
Research
Corporation
165,543
1,719
Lumentum
Holdings,
Inc.
a
129,149
1,231
MKS
Instruments,
Inc.
134,462
1,050
Monolithic
Power
Systems,
Inc.
293,591
706
Nice,
Ltd.
ADR
a
160,283
853
Palo
Alto
Networks,
Inc.
a
208,772
545
Qorvo,
Inc.
a
70,310
757
ServiceNow,
Inc.
a
367,145
6,335
STMicroelectronics
NV
ADR
194,421
736
Synopsys,
Inc.
a
157,489
694
WEX,
Inc.
a
96,445
1,231
Zscaler,
Inc.
a
173,189
Total
4,164,566
Materials
(2.3%)
1,093
Martin
Marietta
Materials,
Inc.
257,249
413
Quaker
Chemical
Corporation
74,220
Total
331,469
Real
Estate
(5.2%)
729
Camden
Property
Trust
64,866
3,960
CBRE
Group,
Inc.
a
186,001
367
CoStar
Group,
Inc.
a
311,403
623
Equity
Lifestyle
Properties,
Inc.
38,190
518
SBA
Communications
Corporation
164,973
Total
765,433
Total
Common
Stock
(cost
$12,771,240)
14,204,800
Mid
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
181
Shares
Short-Term
Investments
(
6.0%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
87,644
0.310%
$
876,444
Total
Short-Term
Investments
(cost
$876,913)
876,444
Total
Investments
(cost
$13,648,153)
102.6%
$15,081,244
Other
Assets
and
Liabilities,
Net
(2.6%)
(382,404)
Total
Net
Assets
100.0%
$14,698,840
a
Non-income
producing
security.
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Mid
Cap
Growth
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
543,080
543,080
–
–
Consumer
Discretionary
1,956,487
1,956,487
–
–
Consumer
Staples
341,895
341,895
–
–
Energy
52,018
52,018
–
–
Financials
620,718
620,718
–
–
Health
Care
3,290,392
3,290,392
–
–
Industrials
2,138,742
2,138,742
–
–
Information
Technology
4,164,566
4,164,566
–
–
Materials
331,469
331,469
–
–
Real
Estate
765,433
765,433
–
–
Subtotal
Investments
in
Securities
$14,204,800
$14,204,800
$–
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
876,444
Subtotal
Other
Investments
$876,444
Total
Investments
at
Value
$15,081,244
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Mid
Cap
Growth
Portfolio,
is
as
follows:
Portfolio
Value
4/30/2020
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1,250
$7,345
$7,718
$876
88
6.0%
Total
Affiliated
Short-Term
Investments
1,250
876
6.0
Total
Value
$1,250
$876
Mid
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
182
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
4/30/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(1)
$0
–
$1
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1
Total
Value
$(1)
$0
$–
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
183
Shares
Common
Stock
(
99.5%
)
Value
Communications
Services
(1.7%)
10,923
AMC
Networks,
Inc.
a,b
$
269,907
1,459
Cable
One,
Inc.
2,750,843
28,841
Cinemark
Holdings,
Inc.
a
288,410
11,752
John
Wiley
and
Sons,
Inc.
372,656
38,885
New
York
Times
Company
1,663,889
58,971
Tegna,
Inc.
692,909
26,810
Telephone
&
Data
Systems,
Inc.
494,377
12,574
World
Wrestling
Entertainment,
Inc.
508,870
18,515
Yelp,
Inc.
b
371,966
Total
7,413,827
Consumer
Discretionary
(16.5%)
18,083
Aaron's,
Inc.
1,024,402
25,286
Adient
plc
b
438,206
13,972
Adtalem
Global
Education,
Inc.
b
342,873
40,116
American
Eagle
Outfitters,
Inc.
594,118
15,738
AutoNation,
Inc.
b
833,012
21,600
Boyd
Gaming
Corporation
662,904
21,321
Brunswick
Corporation
1,256,020
53,710
Caesars
Entertainment,
Inc.
a,b
3,010,983
11,752
Carter's,
Inc.
1,017,488
7,754
Choice
Hotels
International,
Inc.
666,534
9,559
Churchill
Downs,
Inc.
1,565,955
8,195
Columbia
Sportswear
Company
712,801
6,381
Cracker
Barrel
Old
Country
Store,
Inc.
731,645
38,913
Dana,
Inc.
479,408
7,547
Deckers
Outdoor
Corporation
b
1,660,415
23,256
Delphi
Technologies
plc
b
388,608
17,546
Dick's
Sporting
Goods,
Inc.
1,015,563
22,159
Dunkin'
Brands
Group,
Inc.
1,815,044
15,040
Five
Below,
Inc.
b
1,910,080
28,073
Foot
Locker,
Inc.
927,251
11,160
Fox
Factory
Holding
Corporation
b
829,523
66,195
Gentex
Corporation
1,704,521
62,756
Goodyear
Tire
&
Rubber
Company
481,339
1,117
Graham
Holdings
Company
451,391
12,734
Grand
Canyon
Education,
Inc.
b
1,017,956
24,853
GrubHub,
Inc.
b
1,797,618
51,953
H&R
Block,
Inc.
846,314
41,272
Harley-Davidson,
Inc.
1,012,815
6,820
Helen
of
Troy,
Ltd.
b
1,319,806
36,076
IAA,
Inc.
b
1,878,477
6,108
Jack
in
the
Box,
Inc.
484,425
23,717
KB
Home
910,496
42,493
Kohl's
Corporation
787,395
14,692
Lear
Corporation
1,602,163
6,044
Lithia
Motors,
Inc.
1,377,669
11,058
Marriott
Vacations
Worldwide
Corporation
1,004,177
93,429
Mattel,
Inc.
b
1,093,119
7,308
Murphy
USA,
Inc.
b
937,397
29,204
Nordstrom,
Inc.
a
348,112
15,319
Ollie's
Bargain
Outlet
Holdings,
Inc.
b
1,338,115
8,838
Papa
John's
International,
Inc.
727,191
63,455
Park
Hotels
&
Resorts,
Inc.
633,915
38,742
Penn
National
Gaming,
Inc.
b
2,816,543
15,529
Polaris,
Inc.
1,465,006
10,794
Pool
Corporation
3,611,025
4,156
RH
b
1,590,169
30,394
Sally
Beauty
Holdings,
Inc.
a,b
264,124
15,049
Scientific
Games
Corporation
b
525,361
47,461
Service
Corporation
International
2,001,905
Shares
Common
Stock
(99.5%)
Value
Consumer
Discretionary
(16.5%)
-
continued
20,318
Six
Flags
Entertainment
Corporation
$
412,455
36,710
Skechers
USA,
Inc.
b
1,109,376
6,574
Strategic
Education,
Inc.
601,324
34,931
Taylor
Morrison
Home
Corporation
b
858,953
12,916
Tempur
Sealy
International,
Inc.
b
1,151,978
17,571
Texas
Roadhouse,
Inc.
1,068,141
14,867
Thor
Industries,
Inc.
1,416,230
30,926
Toll
Brothers,
Inc.
1,504,859
8,910
TopBuild
Corporation
b
1,520,848
35,100
Tri
Pointe
Homes,
Inc.
b
636,714
25,881
TripAdvisor,
Inc.
507,009
18,434
Urban
Outfitters,
Inc.
b
383,612
7,495
Visteon
Corporation
a,b
518,804
12,609
Weight
Watchers
International,
Inc.
b
237,932
48,208
Wendy's
Company
1,074,797
20,953
Williams-Sonoma,
Inc.
1,894,989
7,972
Wingstop,
Inc.
1,089,374
22,960
Wyndham
Destinations,
Inc.
706,250
25,091
Wyndham
Hotels
&
Resorts,
Inc.
1,267,096
Total
73,872,118
Consumer
Staples
(4.0%)
37,152
BJ's
Wholesale
Club
Holdings,
Inc.
b
1,543,666
2,454
Boston
Beer
Company,
Inc.
b
2,167,765
9,940
Casey's
General
Stores,
Inc.
1,765,841
76,241
Coty,
Inc.
205,851
43,621
Darling
Ingredients,
Inc.
b
1,571,665
14,639
Edgewell
Personal
Care
Company
b
408,135
15,686
Energizer
Holdings,
Inc.
a
613,950
53,001
Flowers
Foods,
Inc.
1,289,514
22,450
Grocery
Outlet
Holding
Corporation
b
882,734
22,501
Hain
Celestial
Group,
Inc.
b
771,784
18,041
Ingredion,
Inc.
1,365,343
5,263
Lancaster
Colony
Corporation
941,024
13,840
Nu
Skin
Enterprises,
Inc.
693,246
13,145
Pilgrim's
Pride
Corporation
b
196,715
16,958
Post
Holdings,
Inc.
b
1,458,388
5,331
Sanderson
Farms,
Inc.
628,898
31,766
Sprouts
Farmers
Markets,
Inc.
b
664,862
4,700
Tootsie
Roll
Industries,
Inc.
a
145,230
15,218
TreeHouse
Foods,
Inc.
b
616,786
Total
17,931,397
Energy
(1.2%)
77,017
Antero
Midstream
Corporation
413,581
50,047
ChampionX
Corporation
b
399,876
27,484
Cimarex
Energy
Company
668,686
60,435
CNX
Resources
Corporation
b
570,506
68,841
EQT
Corporation
890,114
109,488
Equitrans
Midstream
Corporation
926,269
38,886
Murphy
Oil
Corporation
346,863
17,133
World
Fuel
Services
Corporation
363,048
108,785
WPX
Energy,
Inc.
b
533,047
Total
5,111,990
Financials
(13.6%)
12,538
Affiliated
Managers
Group,
Inc.
857,348
3,855
Alleghany
Corporation
2,006,335
19,316
American
Financial
Group,
Inc.
1,293,786
41,392
Associated
Banc-Corp
522,367
25,967
BancorpSouth
Bank
503,240
10,786
Bank
of
Hawaii
Corporation
544,909
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
184
Shares
Common
Stock
(99.5%)
Value
Financials
(13.6%)
-
continued
32,558
Bank
OZK
$
694,137
25,054
Brighthouse
Financial,
Inc.
b
674,203
63,221
Brown
&
Brown,
Inc.
2,862,015
20,157
Cathay
General
Bancorp
437,004
26,515
CIT
Group,
Inc.
469,581
38,169
CNO
Financial
Group,
Inc.
612,231
27,035
Commerce
Bancshares,
Inc.
1,521,800
15,030
Cullen/Frost
Bankers,
Inc.
961,168
38,106
East
West
Bancorp,
Inc.
1,247,590
30,750
Eaton
Vance
Corporation
1,173,113
30,279
Essent
Group,
Ltd.
1,120,626
10,932
Evercore,
Inc.
715,609
87,048
F.N.B.
Corporation
590,185
10,233
FactSet
Research
Systems,
Inc.
3,426,827
25,634
Federated
Hermes,
Inc.
551,387
30,035
First
American
Financial
Corporation
1,529,082
38,254
First
Financial
Bankshares,
Inc.
1,067,669
149,012
First
Horizon
National
Corporation
1,405,183
11,161
FirstCash,
Inc.
638,521
43,651
Fulton
Financial
Corporation
407,264
136,193
Genworth
Financial,
Inc.
b
456,247
25,696
Glacier
Bancorp,
Inc.
823,557
23,257
Hancock
Whitney
Corporation
437,464
10,159
Hanover
Insurance
Group,
Inc.
946,616
40,935
Home
BancShares,
Inc.
620,575
21,291
Interactive
Brokers
Group,
Inc.
1,028,994
14,995
International
Bancshares
Corporation
390,770
40,604
Janus
Henderson
Group
plc
881,919
58,165
Jefferies
Financial
Group,
Inc.
1,046,970
16,540
Kemper
Corporation
1,105,368
2,119
LendingTree,
Inc.
a,b
650,300
7,157
Mercury
General
Corporation
296,085
52,230
Navient
Corporation
441,344
124,944
New
York
Community
Bancorp,
Inc.
1,033,287
76,153
Old
Republic
International
Corporation
1,122,495
31,444
PacWest
Bancorp
537,064
20,427
Pinnacle
Financial
Partners,
Inc.
726,997
10,644
Primerica,
Inc.
1,204,262
24,956
Prosperity
Bancshares,
Inc.
1,293,469
18,297
Reinsurance
Group
of
America,
Inc.
1,741,691
13,794
RenaissanceRe
Holdings,
Ltd.
2,341,394
10,654
RLI
Corporation
892,059
32,749
SEI
Investments
Company
1,661,029
16,109
Selective
Insurance
Group,
Inc.
829,452
14,426
Signature
Bank
1,197,214
101,062
SLM
Corporation
817,592
52,378
Sterling
Bancorp
551,017
18,465
Stifel
Financial
Corporation
933,590
39,676
Synovus
Financial
Corporation
839,941
41,001
TCF
Financial
Corporation
957,783
13,587
Texas
Capital
Bancshares,
Inc.
b
422,963
17,081
Trustmark
Corporation
365,704
11,641
UMB
Financial
Corporation
570,525
59,312
Umpqua
Holdings
Corporation
629,893
34,947
United
Bankshares,
Inc.
750,312
108,754
Valley
National
Bancorp
744,965
20,390
Washington
Federal,
Inc.
425,335
24,291
Webster
Financial
Corporation
641,525
15,514
Wintrust
Financial
Corporation
621,336
Total
60,812,283
Shares
Common
Stock
(99.5%)
Value
Health
Care
(11.1%)
23,960
Acadia
Healthcare
Company,
Inc.
b
$
706,341
8,744
Amedisys,
Inc.
b
2,067,344
27,540
Arrowhead
Research
Corporation
b
1,185,872
12,883
Avanos
Medical,
Inc.
b
427,973
10,383
Bio-Techne
Corporation
2,572,181
10,104
Cantel
Medical
Corporation
443,970
13,380
Charles
River
Laboratories
International,
Inc.
b
3,029,901
4,287
Chemed
Corporation
2,059,260
12,116
Emergent
Biosolutions,
Inc.
b
1,251,946
26,784
Encompass
Health
Corporation
1,740,424
83,221
Exelixis,
Inc.
b
2,034,753
20,288
Globus
Medical,
Inc.
b
1,004,662
13,655
Haemonetics
Corporation
b
1,191,399
20,655
HealthEquity,
Inc.
b
1,061,047
17,939
Hill-Rom
Holdings,
Inc.
1,498,086
5,242
ICU
Medical,
Inc.
b
958,028
19,055
Integra
LifeSciences
Holdings
Corporation
b
899,777
14,937
Jazz
Pharmaceuticals,
Inc.
b
2,129,867
8,508
LHC
Group,
Inc.
b
1,808,461
4,330
Ligand
Pharmaceuticals,
Inc.
a,b
412,736
13,107
LivaNova
plc
b
592,567
13,615
Masimo
Corporation
b
3,213,957
23,017
Mednax,
Inc.
b
374,717
7,343
Medpace
Holdings,
Inc.
b
820,580
15,971
Molina
Healthcare,
Inc.
b
2,923,332
48,163
Nektar
Therapeutics
a,b
799,024
13,804
NuVasive,
Inc.
b
670,460
23,332
Patterson
Companies,
Inc.
562,418
9,044
Penumbra,
Inc.
b
1,757,973
17,226
PRA
Health
Sciences,
Inc.
b
1,747,405
13,517
Prestige
Consumer
Healthcare,
Inc.
b
492,289
10,281
Quidel
Corporation
b
2,255,446
13,151
Repligen
Corporation
b
1,940,299
18,803
Syneos
Health,
Inc.
b
999,567
28,384
Tenet
Healthcare
Corporation
b
695,692
11,961
United
Therapeutics
Corporation
b
1,208,061
Total
49,537,815
Industrials
(17.0%)
10,675
Acuity
Brands,
Inc.
1,092,586
43,197
AECOM
b
1,807,362
16,541
AGCO
Corporation
1,228,500
14,140
ASGN,
Inc.
b
898,738
13,885
Avis
Budget
Group,
Inc.
a,b
365,453
17,096
Axon
Enterprise,
Inc.
b
1,550,607
13,607
Brink's
Company
559,112
31,437
Builders
FirstSource,
Inc.
b
1,025,475
14,700
Carlisle
Companies,
Inc.
1,798,839
13,786
Clean
Harbors,
Inc.
b
772,430
27,103
Colfax
Corporation
b
849,950
13,284
Crane
Company
665,927
11,198
Curtiss-Wright
Corporation
1,044,325
33,970
Donaldson
Company,
Inc.
1,576,887
8,561
Dycom
Industries,
Inc.
b
452,192
14,788
EMCOR
Group,
Inc.
1,001,295
11,440
EnerSys
767,853
33,600
Fluor
Corporation
296,016
9,856
FTI
Consulting,
Inc.
b
1,044,440
9,426
GATX
Corporation
600,907
16,911
Generac
Holdings,
Inc.
b
3,274,646
44,900
Graco,
Inc.
2,754,615
20,044
Healthcare
Services
Group,
Inc.
431,547
15,856
Herman
Miller,
Inc.
478,217
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
185
Shares
Common
Stock
(99.5%)
Value
Industrials
(17.0%)
-
continued
22,491
Hexcel
Corporation
$
754,573
11,494
HNI
Corporation
360,682
14,605
Hubbell,
Inc.
1,998,548
9,719
Insperity,
Inc.
636,497
23,270
ITT
Corporation
1,374,094
73,372
JetBlue
Airways
Corporation
b
831,305
34,805
KAR
Auction
Services,
Inc.
501,192
38,341
KBR,
Inc.
857,305
22,335
Kennametal,
Inc.
646,375
16,170
Kirby
Corporation
b
584,869
33,922
Knight-Swift
Transportation
Holdings,
Inc.
1,380,625
10,337
Landstar
System,
Inc.
1,297,190
9,376
Lennox
International,
Inc.
2,555,991
15,989
Lincoln
Electric
Holdings,
Inc.
1,471,628
15,640
Manpower,
Inc.
1,146,881
15,110
MasTec,
Inc.
b
637,642
15,083
Mercury
Systems,
Inc.
b
1,168,329
14,979
Middleby
Corporation
b
1,343,766
9,739
MSA
Safety,
Inc.
1,306,682
12,261
MSC
Industrial
Direct
Company,
Inc.
775,876
14,536
Nordson
Corporation
2,788,296
45,767
nVent
Electric
plc
809,618
18,343
Oshkosh
Corporation
1,348,211
29,091
Owens
Corning,
Inc.
2,001,752
10,929
Regal-Beloit
Corporation
1,025,905
14,495
Ryder
System,
Inc.
612,269
24,639
Stericycle,
Inc.
b
1,553,735
34,176
Sunrun,
Inc.
b
2,633,944
18,664
Terex
Corporation
361,335
14,514
Tetra
Tech,
Inc.
1,386,087
18,203
Timken
Company
986,967
28,898
Toro
Company
2,425,987
31,176
Trex
Company,
Inc.
b
2,232,202
23,969
Trinity
Industries,
Inc.
467,396
45,533
Univar,
Inc.
b
768,597
5,753
Valmont
Industries,
Inc.
714,408
8,840
Watsco,
Inc.
2,058,748
15,632
Werner
Enterprises,
Inc.
656,388
15,626
Woodward,
Inc.
1,252,580
24,597
XPO
Logistics,
Inc.
b
2,082,382
Total
76,134,776
Information
Technology
(15.8%)
31,374
ACI
Worldwide,
Inc.
b
819,803
12,851
Alliance
Data
Systems
Corporation
539,485
20,907
Arrow
Electronics,
Inc.
b
1,644,545
26,604
Avnet,
Inc.
687,447
11,990
Belden,
Inc.
373,129
13,352
Blackbaud,
Inc.
745,442
7,825
Cabot
Microelectronics
Corporation
1,117,488
6,759
CACI
International,
Inc.
b
1,440,748
32,734
CDK
Global,
Inc.
1,426,875
34,964
Ceridian
HCM
Holding,
Inc.
b
2,889,774
41,381
Ciena
Corporation
b
1,642,412
15,727
Cirrus
Logic,
Inc.
b
1,060,786
46,606
Cognex
Corporation
3,034,051
6,533
Coherent,
Inc.
b
724,706
12,495
CommVault
Systems,
Inc.
b
509,796
21,401
CoreLogic,
Inc.
1,448,206
29,540
Cree,
Inc.
b
1,882,880
33,937
Enphase
Energy,
Inc.
b
2,802,857
7,810
Fair
Isaac
Corporation
b
3,322,218
22,813
First
Solar,
Inc.
b
1,510,221
Shares
Common
Stock
(99.5%)
Value
Information
Technology
(15.8%)
-
continued
27,921
II-VI,
Inc.
b
$
1,132,476
8,297
InterDigital,
Inc.
473,427
12,052
j2
Global,
Inc.
b
834,239
36,498
Jabil,
Inc.
1,250,421
6,556
Littelfuse,
Inc.
1,162,641
17,743
LiveRamp
Holding,
Inc.
b
918,555
20,253
Lumentum
Holdings,
Inc.
b
1,521,608
17,108
Manhattan
Associates,
Inc.
b
1,633,643
16,513
MAXIMUS,
Inc.
1,129,654
14,848
MKS
Instruments,
Inc.
1,621,847
11,371
Monolithic
Power
Systems,
Inc.
3,179,445
35,399
National
Instruments
Corporation
1,263,744
34,582
NCR
Corporation
b
765,645
19,514
NetScout
Systems,
Inc.
b
425,991
10,000
Paylocity
Holding
Corporation
b
1,614,200
36,802
Perspecta,
Inc.
715,799
28,146
PTC,
Inc.
b
2,328,237
9,090
Qualys,
Inc.
b
890,911
83,925
Sabre
Corporation
546,352
15,665
Science
Applications
International
Corporation
1,228,449
17,550
Semtech
Corporation
b
929,448
11,795
Silicon
Laboratories,
Inc.
b
1,154,141
13,498
Solaredge
Technology,
Ltd.
b
3,217,248
9,210
Synaptics,
Inc.
b
740,668
11,095
SYNNEX
Corporation
1,553,966
29,360
Teradata
Corporation
b
666,472
67,390
Trimble,
Inc.
b
3,281,893
11,544
Universal
Display
Corporation
2,086,462
17,271
ViaSat,
Inc.
b
593,950
35,702
Vishay
Intertechnology,
Inc.
555,880
11,876
WEX,
Inc.
b
1,650,408
Total
70,690,689
Materials
(5.8%)
17,369
AptarGroup,
Inc.
1,966,171
14,658
Ashland
Global
Holdings,
Inc.
1,039,545
24,627
Avient
Corporation
651,630
15,207
Cabot
Corporation
547,908
44,234
Chemours
Company
924,933
32,069
Commercial
Metals
Company
640,739
9,142
Compass
Minerals
International,
Inc.
542,578
14,865
Domtar
Corporation
390,504
11,246
Eagle
Materials,
Inc.
970,755
7,122
Greif,
Inc.
257,888
11,117
Ingevity
Corporation
b
549,624
30,247
Louisiana-Pacific
Corporation
892,589
9,189
Minerals
Technologies,
Inc.
469,558
1,971
NewMarket
Corporation
674,713
42,273
O-I
Glass,
Inc.
447,671
38,265
Olin
Corporation
473,721
17,172
Reliance
Steel
&
Aluminum
Company
1,752,231
17,666
Royal
Gold,
Inc.
2,122,923
35,005
RPM
International,
Inc.
2,899,814
10,965
Scotts
Miracle-Gro
Company
1,676,658
11,408
Sensient
Technologies
Corporation
658,698
21,204
Silgan
Holdings,
Inc.
779,671
27,034
Sonoco
Products
Company
1,380,626
53,824
Steel
Dynamics,
Inc.
1,540,981
59,353
United
States
Steel
Corporation
a
435,651
49,835
Valvoline,
Inc.
948,858
9,713
Worthington
Industries,
Inc.
396,096
Total
26,032,734
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
186
Shares
Common
Stock
(99.5%)
Value
Real
Estate
(9.1%)
37,068
American
Campus
Communities,
Inc.
$
1,294,415
79,851
Brixmor
Property
Group,
Inc.
933,458
26,231
Camden
Property
Trust
2,334,034
11,455
CoreSite
Realty
Corporation
1,361,770
30,214
Corporate
Office
Properties
Trust
716,676
40,014
Cousins
Properties,
Inc.
1,144,000
31,477
CyrusOne,
Inc.
2,204,334
44,399
Douglas
Emmett,
Inc.
1,114,415
10,593
EastGroup
Properties,
Inc.
1,369,993
20,095
EPR
Properties
552,613
34,261
First
Industrial
Realty
Trust,
Inc.
1,363,588
32,679
GEO
Group,
Inc.
370,580
36,642
Healthcare
Realty
Trust,
Inc.
1,103,657
27,982
Highwoods
Properties,
Inc.
939,356
41,304
Hudson
Pacific
Properties,
Inc.
905,797
30,268
JBG
SMITH
Properties
809,366
13,946
Jones
Lang
LaSalle,
Inc.
1,334,074
28,229
Kilroy
Realty
Corporation
1,466,779
23,267
Lamar
Advertising
Company
1,539,577
12,636
Life
Storage,
Inc.
1,330,192
30,191
Macerich
Company
204,997
142,429
Medical
Properties
Trust,
Inc.
2,511,023
46,739
National
Retail
Properties,
Inc.
1,612,963
61,130
Omega
Healthcare
Investors,
Inc.
1,830,232
35,246
Pebblebrook
Hotel
Trust
441,632
56,059
Physicians
Realty
Trust
1,004,017
18,010
PotlatchDeltic
Corporation
758,221
5,403
PS
Business
Parks,
Inc.
661,273
36,767
Rayonier,
Inc.
REIT
972,120
33,340
Rexford
Industrial
Realty,
Inc.
1,525,638
55,363
Sabra
Health
Care
REIT,
Inc.
763,179
44,331
Service
Properties
Trust
352,432
27,752
Spirit
Realty
Capital,
Inc.
936,630
61,434
Store
Capital
Corporation
1,685,135
16,622
Taubman
Centers,
Inc.
553,346
29,545
Urban
Edge
Properties
287,177
32,432
Weingarten
Realty
Investors
550,047
Total
40,838,736
Utilities
(3.7%)
13,973
ALLETE,
Inc.
722,963
16,899
Black
Hills
Corporation
903,927
60,085
Essential
Utilities,
Inc.
2,418,421
29,406
Hawaiian
Electric
Industries,
Inc.
977,455
13,591
IDACORP,
Inc.
1,085,921
54,006
MDU
Resources
Group,
Inc.
1,215,135
24,496
National
Fuel
Gas
Company
994,293
25,837
New
Jersey
Resources
Corporation
698,116
13,622
NorthWestern
Corporation
662,574
53,911
OGE
Energy
Corporation
1,616,791
14,253
ONE
Gas,
Inc.
983,600
21,453
PNM
Resources,
Inc.
886,652
15,059
Southwest
Gas
Holdings,
Inc.
950,223
13,863
Spire,
Inc.
737,512
56,107
UGI
Corporation
1,850,409
Total
16,703,992
Total
Common
Stock
(cost
$402,910,016)
445,080,357
Shares
Collateral
Held
for
Securities
Loaned
(
1.4%
)
Value
6,282,801
Thrivent
Cash
Management
Trust
$
6,282,801
Total
Collateral
Held
for
Securities
Loaned
(cost
$6,282,801)
6,282,801
Shares
or
Principal
Amount
Short-Term
Investments
(
0.8%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
0.060%,
10/7/2020
c,d
299,997
100,000
0.055%,
12/8/2020
c,d
99,983
Thrivent
Core
Short-Term
Reserve
Fund
305,853
0.310%
3,058,528
Total
Short-Term
Investments
(cost
$3,458,852)
3,458,508
Total
Investments
(cost
$412,651,669)
101.7%
$454,821,666
Other
Assets
and
Liabilities,
Net
(1.7%)
(7,628,441)
Total
Net
Assets
100.0%
$447,193,225
a
All
or
a
portion
of
the
security
is
on
loan.
b
Non-income
producing
security.
c
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
d
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Mid
Cap
Index
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
6,202,373
Total
lending
$6,202,373
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$6,282,801
Net
amounts
due
to
counterparty
$80,428
Definitions:
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
187
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
S&P
-
Standard
&
Poor's
I
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Mid
Cap
Index
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
7,413,827
7,413,827
–
–
Consumer
Discretionary
73,872,118
73,872,118
–
–
Consumer
Staples
17,931,397
17,931,397
–
–
Energy
5,111,990
5,111,990
–
–
Financials
60,812,283
60,812,283
–
–
Health
Care
49,537,815
49,537,815
–
–
Industrials
76,134,776
76,134,776
–
–
Information
Technology
70,690,689
70,690,689
–
–
Materials
26,032,734
26,032,734
–
–
Real
Estate
40,838,736
40,838,736
–
–
Utilities
16,703,992
16,703,992
–
–
Short-Term
Investments
399,980
–
399,980
–
Subtotal
Investments
in
Securities
$445,480,337
$445,080,357
$399,980
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
3,058,528
Collateral
Held
for
Securities
Loaned
6,282,801
Subtotal
Other
Investments
$9,341,329
Total
Investments
at
Value
$454,821,666
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Liability
Derivatives
Futures
Contracts
223
223
–
–
Total
Liability
Derivatives
$223
$223
$–
$–
The
following
table
presents
Mid
Cap
Index
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$399,980
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CME
E-mini
S&P
Mid-Cap
400
Index
13
December
2020
$
2,412,893
(
$
223)
Total
Futures
Long
Contracts
$
2,412,893
(
$
223)
Total
Futures
Contracts
$
2,412,893
($223)
Mid
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
188
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Mid
Cap
Index
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$15,779
$42,852
$55,591
$3,059
306
0.7%
Total
Affiliated
Short-Term
Investments
15,779
3,059
0.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
9,595
82,901
86,213
6,283
6,283
1.4
Total
Collateral
Held
for
Securities
Loaned
9,595
6,283
1.4
Total
Value
$25,374
$9,342
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$19
$0
–
$96
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$96
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
42
Total
Affiliated
Income
from
Securities
Loaned,
Net
$42
Total
Value
$19
$0
$–
Mid
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
189
Shares
Common
Stock
(
96.8%
)
Value
Communications
Services
(6.3%)
780,910
DISH
Network
Corporation
a
$
22,669,817
778,004
Twitter,
Inc.
a
34,621,178
592,835
Zillow
Group,
Inc.
a
60,196,466
Total
117,487,461
Consumer
Discretionary
(13.5%)
278,565
Aptiv
plc
25,538,839
130,427
Burlington
Stores,
Inc.
a
26,879,701
862,297
Harley-Davidson,
Inc.
21,160,768
167,286
Lululemon
Athletica
,
Inc.
a
55,098,990
13,834
NVR,
Inc.
a
56,485,882
171,632
RH
a,b
65,669,836
Total
250,834,016
Consumer
Staples
(3.7%)
1,297,663
Hain
Celestial
Group,
Inc.
a
44,509,841
373,225
Lamb
Weston
Holdings,
Inc.
24,733,621
Total
69,243,462
Energy
(1.9%)
361,899
Valero
Energy
Corporation
15,677,465
3,890,611
WPX
Energy,
Inc.
a
19,063,994
Total
34,741,459
Financials
(12.7%)
1,396,825
Ally
Financial,
Inc.
35,018,403
1,168,081
Assured
Guaranty,
Ltd.
25,090,380
417,404
Interactive
Brokers
Group,
Inc.
20,173,135
339,574
Kemper
Corporation
22,693,731
2,331,232
KeyCorp
27,811,598
36,313
Markel
Corporation
a
35,357,968
1,233,248
Radian
Group,
Inc.
18,017,753
768,978
Western
Alliance
Bancorp
24,315,084
934,320
Zions
Bancorporations
NA
27,300,830
Total
235,778,882
Health
Care
(11.5%)
223,921
Alexion
Pharmaceuticals,
Inc.
a
25,623,280
151,129
Align
Technology,
Inc.
a
49,473,589
274,457
Catalent
,
Inc.
a
23,509,987
355,360
Edwards
Lifesciences
Corporation
a
28,364,835
302,192
Jazz
Pharmaceuticals,
Inc.
a
43,089,557
99,692
Quidel
Corporation
a
21,870,431
209,795
Universal
Health
Services,
Inc.
22,452,261
Total
214,383,940
Industrials
(16.1%)
946,907
Altra
Industrial
Motion
Corporation
35,007,152
1,901,215
Arconic
,
Inc.
31,788,315
256,479
Heico
Corporation
26,843,092
680,597
Nutrien
,
Ltd.
26,699,820
198,035
Old
Dominion
Freight
Line,
Inc.
35,828,492
97,145
Rockwell
Automation,
Inc.
21,437,959
1,101,005
Southwest
Airlines
Company
41,287,687
582,360
Timken
Company
31,575,559
278,639
United
Rentals,
Inc.
a
48,622,506
Total
299,090,582
Information
Technology
(15.5%)
553,240
Advanced
Micro
Devices,
Inc.
a
45,360,148
409,709
Akamai
Technologies,
Inc.
a
45,289,233
439,982
Alliance
Data
Systems
Corporation
18,470,444
129,684
ANSYS,
Inc.
a
42,436,495
494,071
Ciena
Corporation
a
19,609,678
1,175,578
Dropbox,
Inc.
a
22,641,632
Shares
Common
Stock
(96.8%)
Value
Information
Technology
(15.5%)
-
continued
122,389
Nice,
Ltd.
ADR
a,b
$
27,785,975
1,992,081
Nuance
Communications,
Inc.
a
66,117,169
Total
287,710,774
Materials
(3.4%)
480,801
Ball
Corporation
39,964,179
793,403
Steel
Dynamics,
Inc.
22,715,128
Total
62,679,307
Real
Estate
(7.0%)
132,587
Alexandria
Real
Estate
Equities,
Inc.
21,213,920
306,458
Camden
Property
Trust
27,268,633
150,608
Digital
Realty
Trust,
Inc.
22,103,230
688,595
Douglas
Emmett,
Inc.
17,283,735
673,877
Duke
Realty
Corporation
24,866,061
1,639,508
Host
Hotels
&
Resorts,
Inc.
17,690,291
Total
130,425,870
Utilities
(5.2%)
403,136
Alliant
Energy
Corporation
20,821,974
1,114,120
CenterPoint
Energy,
Inc.
21,558,222
337,484
CMS
Energy
Corporation
20,724,892
331,018
Entergy
Corporation
32,615,204
Total
95,720,292
Total
Common
Stock
(cost
$1,399,258,568)
1,798,096,045
Shares
Collateral
Held
for
Securities
Loaned
(
3.5%
)
Value
63,896,800
Thrivent
Cash
Management
Trust
63,896,800
Total
Collateral
Held
for
Securities
Loaned
(cost
$63,896,800)
63,896,800
Shares
Short-Term
Investments
(
3.3%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
6,139,247
0.310%
61,392,467
Total
Short-Term
Investments
(cost
$61,379,600)
61,392,467
Total
Investments
(cost
$1,524,534,968)
103.6%
$1,923,385,312
Other
Assets
and
Liabilities,
Net
(3.6%)
(66,421,024)
Total
Net
Assets
100.0%
$1,856,964,288
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Mid
Cap
Stock
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
63,456,764
Total
lending
$63,456,764
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$63,896,800
Net
amounts
due
to
counterparty
$440,036
Mid
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
190
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Mid
Cap
Stock
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
117,487,461
117,487,461
–
–
Consumer
Discretionary
250,834,016
250,834,016
–
–
Consumer
Staples
69,243,462
69,243,462
–
–
Energy
34,741,459
34,741,459
–
–
Financials
235,778,882
235,778,882
–
–
Health
Care
214,383,940
214,383,940
–
–
Industrials
299,090,582
299,090,582
–
–
Information
Technology
287,710,774
287,710,774
–
–
Materials
62,679,307
62,679,307
–
–
Real
Estate
130,425,870
130,425,870
–
–
Utilities
95,720,292
95,720,292
–
–
Subtotal
Investments
in
Securities
$1,798,096,045
$1,798,096,045
$–
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
61,392,467
Collateral
Held
for
Securities
Loaned
63,896,800
Subtotal
Other
Investments
$125,289,267
Total
Investments
at
Value
$1,923,385,312
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Mid
Cap
Stock
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$86,402
$134,615
$159,544
$61,392
6,139
3.3%
Total
Affiliated
Short-Term
Investments
86,402
61,392
3.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
55,911
301,147
293,161
63,897
63,897
3.5
Total
Collateral
Held
for
Securities
Loaned
55,911
63,897
3.5
Total
Value
$142,313
$125,289
Mid
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
191
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(94)
$13
–
$595
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$595
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
93
Total
Affiliated
Income
from
Securities
Loaned,
Net
$93
Total
Value
$(94)
$13
$–
Mid
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
192
Shares
Common
Stock
(
96.7%
)
Value
Communications
Services
(4.0%)
4,154
Discovery,
Inc.,
Class
A
a
$
90,432
6,510
Interpublic
Group
of
Companies,
Inc.
108,522
Total
198,954
Consumer
Discretionary
(12.1%)
829
Aptiv
plc
76,003
2,577
Cedar
Fair,
LP
72,336
1,019
Dollar
Tree,
Inc.
a
93,076
1,484
eBay,
Inc.
77,316
654
Lear
Corporation
71,319
519
Mohawk
Industries,
Inc.
a
50,649
1,024
Polaris,
Inc.
96,604
1,074
Texas
Roadhouse,
Inc.
65,289
Total
602,592
Consumer
Staples
(5.9%)
6,035
Albertsons
Companies,
Inc.
a
83,585
710
Church
&
Dwight
Company,
Inc.
66,534
3,061
Hain
Celestial
Group,
Inc.
a
104,992
596
Sysco
Corporation
37,083
Total
292,194
Energy
(4.1%)
3,930
Helmerich
&
Payne,
Inc.
57,575
1,889
Marathon
Petroleum
Corporation
55,423
1,051
Pioneer
Natural
Resources
Company
90,375
Total
203,373
Financials
(18.6%)
1,476
Capital
One
Financial
Corporation
106,065
1,319
Comerica,
Inc.
50,452
3,158
Hartford
Financial
Services
Group,
Inc.
116,404
673
Kemper
Corporation
44,976
1,359
Raymond
James
Financial,
Inc.
98,881
1,818
Selective
Insurance
Group,
Inc.
93,609
3,421
Trustmark
Corporation
73,244
2,955
Voya
Financial,
Inc.
141,633
2,900
Wintrust
Financial
Corporation
116,145
2,910
Zions
Bancorporations
NA
85,030
Total
926,439
Health
Care
(8.4%)
2,873
Acadia
Healthcare
Company,
Inc.
a
84,696
863
Alexion
Pharmaceuticals,
Inc.
a
98,753
1,768
Centene
Corporation
a
103,128
965
Zimmer
Biomet
Holdings,
Inc.
131,375
Total
417,952
Industrials
(12.6%)
1,482
AGCO
Corporation
110,068
1,094
Carlisle
Companies,
Inc.
133,873
368
JB
Hunt
Transport
Services,
Inc.
46,508
494
Lincoln
Electric
Holdings,
Inc.
45,468
2,216
Robert
Half
International,
Inc.
117,315
3,334
Southwest
Airlines
Company
125,025
132
W.W.
Grainger,
Inc.
47,093
Total
625,350
Information
Technology
(11.1%)
4,445
Change
Healthcare,
Inc.
a
64,497
2,133
FLIR
Systems,
Inc.
76,468
2,612
Juniper
Networks,
Inc.
56,158
338
Littelfuse,
Inc.
59,941
Shares
Common
Stock
(96.7%)
Value
Information
Technology
(11.1%)
-
continued
1,275
National
Instruments
Corporation
$
45,517
3,300
ON
Semiconductor
Corporation
a
71,577
1,355
PTC,
Inc.
a
112,086
1,874
Western
Digital
Corporation
68,495
Total
554,739
Materials
(8.0%)
4,696
Axalta
Coating
Systems,
Ltd.
a
104,110
2,292
Berry
Plastics
Group,
Inc.
a
110,749
3,088
CF
Industries
Holdings,
Inc.
94,833
311
Eastman
Chemical
Company
24,295
1,438
Nucor
Corporation
64,509
Total
398,496
Real
Estate
(7.6%)
694
Camden
Property
Trust
61,752
2,534
CBRE
Group,
Inc.
a
119,022
1,972
Highwoods
Properties,
Inc.
66,200
7,154
Host
Hotels
&
Resorts,
Inc.
77,192
2,051
Rayonier,
Inc.
REIT
54,228
Total
378,394
Utilities
(4.3%)
5,035
CenterPoint
Energy,
Inc.
97,428
1,693
FirstEnergy
Corporation
48,606
1,685
PNM
Resources,
Inc.
69,641
Total
215,675
Total
Common
Stock
(cost
$4,679,474)
4,814,158
Shares
Registered
Investment
Companies
(
1.5%
)
Value
Unaffiliated (1.5%)
2,017
Fidelity
US
Utilities
ETF
76,525
Total
76,525
Total
Registered
Investment
Companies
(cost
$77,363)
76,525
Shares
Short-Term
Investments
(
1.6%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
7,912
0.310%
79,118
Total
Short-Term
Investments
(cost
$79,153)
79,118
Total
Investments
(cost
$4,835,990)
99.8%
$4,969,801
Other
Assets
and
Liabilities,
Net
0.2%
11,831
Total
Net
Assets
100.0%
$4,981,632
a
Non-income
producing
security.
Definitions:
ETF
-
Exchange
Traded
Fund
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Mid
Cap
Value
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
193
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Mid
Cap
Value
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
198,954
198,954
–
–
Consumer
Discretionary
602,592
602,592
–
–
Consumer
Staples
292,194
292,194
–
–
Energy
203,373
203,373
–
–
Financials
926,439
926,439
–
–
Health
Care
417,952
417,952
–
–
Industrials
625,350
625,350
–
–
Information
Technology
554,739
554,739
–
–
Materials
398,496
398,496
–
–
Real
Estate
378,394
378,394
–
–
Utilities
215,675
215,675
–
–
Registered
Investment
Companies
Unaffiliated
76,525
76,525
–
–
Subtotal
Investments
in
Securities
$4,890,683
$4,890,683
$–
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
79,118
Subtotal
Other
Investments
$79,118
Total
Investments
at
Value
$4,969,801
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Mid
Cap
Value
Portfolio,
is
as
follows:
Portfolio
Value
4/30/2020
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1,250
$768
$1,939
$79
8
1.6%
Total
Affiliated
Short-Term
Investments
1,250
79
1.6
Total
Value
$1,250
$79
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
4/30/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$0
$0
–
$0
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$
0
Total
Value
$0
$0
$–
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
194
Principal
Amount
Bank
Loans
(
1.5%
)
a
Value
Basic
Materials
(0.1%)
Ball
Metalpack
Finco
,
LLC,
Term
Loan
$
698,912
4.756%,
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
670,257
Chemours
Company,
Term
Loan
988,042
1.900%,
(LIBOR
1M
+
1.750%),
4/3/2025
b
950,990
Hexion
,
Inc.,
Term
Loan
825,819
3.800%,
(LIBOR
3M
+
3.500%),
7/1/2026
b
811,367
Innophos
Holdings,
Inc.,
Term
Loan
825,850
3.897%,
(LIBOR
1M
+
3.750%),
2/7/2027
b,c
817,591
Nouryon
USA,
LLC,
Term
Loan
1,653,403
3.151%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
1,598,494
Peabody
Energy
Corporation,
Term
Loan
1,057,875
2.897%,
(LIBOR
1M
+
2.750%),
3/31/2025
b
409,927
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
1,080,540
7.500%,
(LIBOR
1M
+
6.500%),
10/31/2024
b
1,075,137
PQ
Corporation,
Term
Loan
897,750
4.000%,
(LIBOR
3M
+
3.000%),
2/7/2027
b
892,364
Total
7,226,127
Capital
Goods
(0.1%)
Advanced
Disposal
Services,
Inc.,
Term
Loan
967,214
3.000%,
(LIBOR
1W
+
2.250%),
11/10/2023
b
964,796
Asplundh
Tree
Expert,
LLC,
Term
Loan
505,000
0.000%,
(LIBOR
1M
+
2.500%),
9/4/2027
b,d,e
504,056
Flex
Acquisition
Company,
Inc.
Term
Loan
1,809,584
3.546%,
(LIBOR
3M
+
3.250%),
6/29/2025
b
1,753,035
GFL
Environmental,
Inc.,
Term
Loan
1,404,463
4.000%,
(LIBOR
3M
+
3.000%),
5/31/2025
b
1,396,738
Graham
Packaging
Company,
Inc.,
Term
Loan
815,000
4.500%,
(LIBOR
1M
+
3.750%),
8/4/2027
b
809,230
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
1,273,086
3.523%,
(LIBOR
3M
+
3.250%),
4/3/2024
b
1,192,728
Reynolds
Group
Holdings,
Inc.,
Term
Loan
598,789
3.979%,
(LIBOR
1M
+
2.750%),
2/5/2023
b
590,783
1,000,000
0.000%,
(LIBOR
1M
+
3.250%),
2/16/2026
b,d,e
981,000
TransDigm
,
Inc.,
Term
Loan
2,895,656
2.397%,
(LIBOR
1M
+
2.250%),
12/9/2025
b
2,732,776
Principal
Amount
Bank
Loans
(1.5%)
a
Value
Capital
Goods
(0.1%)
-
continued
Vertiv
Group
Corporation,
Term
Loan
$
2,786,000
3.157%,
(LIBOR
1M
+
3.000%),
3/2/2027
b
$
2,738,638
Total
13,663,780
Communications
Services
(0.4%)
Altice
France
SA,
Term
Loan
856,237
2.897%,
(LIBOR
1M
+
2.750%),
7/31/2025
b
815,515
CenturyLink,
Inc.,
Term
Loan
1,935,375
2.397%,
(LIBOR
1M
+
2.250%),
3/15/2027
b
1,856,238
CommScope
,
Inc.,
Term
Loan
1,571,033
3.397%,
(LIBOR
1M
+
3.250%),
4/4/2026
b
1,528,112
Coral-US
Co-Borrower,
LLC,
Term
Loan
3,450,000
2.397%,
(LIBOR
1M
+
2.250%),
1/31/2028
b
3,332,769
Diamond
Sports
Group,
LLC,
Term
Loan
2,475,672
3.400%,
(LIBOR
1M
+
3.250%),
8/24/2026
b
1,910,402
Entercom
Media
Corporation,
Term
Loan
1,240,494
2.645%,
(LIBOR
1M
+
2.500%),
11/17/2024
b
1,164,513
GCI,
LLC,
Term
Loan
1,855,000
0.000%,
(LIBOR
1M
+
2.750%),
9/24/2025
b,c,d,e
1,841,088
Gray
Television,
Inc.,
Term
Loan
750,000
2.405%,
(LIBOR
1M
+
2.250%),
2/7/2024
b
732,990
HCP
Acquisition,
LLC,
Term
Loan
1,375,915
4.000%,
(LIBOR
1M
+
3.000%),
5/16/2024
b
1,365,884
iHeartCommunications
,
Inc.,
Term
Loan
960,163
3.147%,
(LIBOR
1M
+
3.000%),
5/1/2026
b
909,005
Mediacom
Illinois,
LLC,
Term
Loan
347,702
1.860%,
(LIBOR
1W
+
1.750%),
2/15/2024
b
344,225
NEP
Group,
Inc.,
Term
Loan
1,331,287
3.397%,
(LIBOR
1M
+
3.250%),
10/20/2025
b
1,141,246
195,000
7.147%,
(LIBOR
1M
+
7.000%),
10/19/2026
b
152,100
Nexstar
Broadcasting,
Inc.,
Term
Loan
2,075,000
2.905%,
(LIBOR
1M
+
2.750%),
9/19/2026
b
2,026,590
Nielsen
Finance,
LLC,
Term
Loan
673,312
4.750%,
(LIBOR
1M
+
3.750%),
6/4/2025
b
671,966
Radiate
Holdco,
LLC,
Term
Loan
2,785,000
0.000%,
(LIBOR
1M
+
3.500%),
9/11/2026
b,d,e
2,732,781
SBA
Senior
Finance
II,
LLC,
Term
Loan
1,410,632
1.900%,
(LIBOR
1M
+
1.750%),
4/11/2025
b
1,372,320
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
195
Principal
Amount
Bank
Loans
(1.5%)
a
Value
Communications
Services
(0.4%)
-
continued
Terrier
Media
Buyer,
Inc.,
Term
Loan
$
1,091,750
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
$
1,063,288
448,875
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
435,970
T-Mobile
USA,
Inc.,
Term
Loan
2,064,825
3.147%,
(LIBOR
1M
+
3.000%),
4/1/2027
b
2,061,687
TNS,
Inc.,
Term
Loan
1,523,307
4.150%,
(LIBOR
1M
+
4.000%),
8/14/2022
b
1,509,978
Virgin
Media
Bristol,
LLC,
Term
Loan
945,000
0.000%,
(LIBOR
1M
+
3.250%),
1/10/2029
b,d,e
928,018
WideOpenWest
Finance,
LLC,
Term
Loan
1,512,664
4.250%,
(LIBOR
1M
+
3.250%),
8/19/2023
b
1,487,372
Windstream
Services,
LLC,
Term
Loan
2,551,366
0.000%,
(PRIME
+
5.000%),
3/30/2021
b,f
1,535,922
Xplornet
Communications,
Inc.,
Term
Loan
1,062,337
4.897%,
(LIBOR
1M
+
4.750%),
6/11/2027
b
1,040,432
Ziggo
Financing
Partnership,
Term
Loan
1,825,000
2.652%,
(LIBOR
1M
+
2.500%),
4/30/2028
b
1,753,259
Total
35,713,670
Consumer
Cyclical
(0.3%)
1011778
B.C.,
LLC,
Term
Loan
2,069,787
1.897%,
(LIBOR
1M
+
1.750%),
11/19/2026
b
1,980,951
Caesars
Resort
Collection,
LLC,
Term
Loan
1,565,000
0.000%,
(LIBOR
1M
+
4.500%),
7/20/2025
b,d,e
1,512,400
Cengage
Learning,
Inc.,
Term
Loan
775,256
5.250%,
(LIBOR
3M
+
4.250%),
6/7/2023
b
646,230
Four
Seasons
Hotels,
Ltd.,
Term
Loan
1,302,778
2.147%,
(LIBOR
1M
+
2.000%),
11/30/2023
b
1,265,323
Golden
Entertainment,
Inc.,
Term
Loan
2,692,350
3.750%,
(LIBOR
1M
+
3.000%),
10/20/2024
b
2,574,560
Golden
Nugget,
LLC,
Term
Loan
818,095
3.250%,
(LIBOR
2M
+
2.500%),
10/4/2023
b
727,238
LCPR
Loan
Financing,
LLC,
Term
Loan
3,255,000
5.152%,
(LIBOR
1M
+
5.000%),
10/15/2026
b
3,248,230
Men's
Warehouse,
Inc.,
Term
Loan
1,371,281
4.250%,
(LIBOR
1M
+
3.250%),
4/9/2025
b,g
411,384
Principal
Amount
Bank
Loans
(1.5%)
a
Value
Consumer
Cyclical
(0.3%)
-
continued
Michaels
Stores,
Inc.,
Term
Loan
$
1,115,000
0.000%,
(LIBOR
1M
+
3.500%),
9/17/2027
b,c,d,e
$
1,087,125
Penn
National
Gaming,
Inc.,
Term
Loan
1,871,663
3.000%,
(LIBOR
1M
+
2.250%),
10/15/2025
b
1,816,186
Scientific
Games
International,
Inc.,
Term
Loan
5,263,121
3.471%,
(LIBOR
1M
+
2.750%),
8/14/2024
b
4,940,018
Staples,
Inc.,
Term
Loan
274,804
4.751%,
(LIBOR
3M
+
4.500%),
9/12/2024
b
257,857
1,566,164
5.251%,
(LIBOR
3M
+
5.000%),
4/12/2026
b
1,453,103
Stars
Group
Holdings
BV,
Term
Loan
1,716,064
3.720%,
(LIBOR
3M
+
3.500%),
7/10/2025
b
1,710,230
Tenneco,
Inc.,
Term
Loan
823,061
3.147%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
740,245
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
906,500
1.897%,
(LIBOR
1M
+
1.750%),
5/30/2025
b
872,787
Total
25,243,867
Consumer
Non-Cyclical
(0.3%)
Bausch
Health
Americas,
Inc.,
Term
Loan
2,568,643
3.151%,
(LIBOR
1M
+
3.000%),
6/1/2025
b
2,514,598
Bellring
Brands,
LLC,
Term
Loan
487,342
6.000%,
(LIBOR
1M
+
5.000%),
10/21/2024
b
487,546
Change
Healthcare
Holdings,
LLC,
Term
Loan
981,936
3.500%,
(LIBOR
1M
+
2.500%),
3/1/2024
b
960,000
Chobani
,
LLC,
Term
Loan
1,550,850
4.500%,
(LIBOR
1M
+
3.500%),
10/10/2023
b
1,531,464
Dole
Food
Company,
Inc.,
Term
Loan
1,647,117
3.750%,
(LIBOR
1M
+
2.750%),
4/6/2024
b,d,e
1,620,698
Endo
International
plc,
Term
Loan
904,588
5.000%,
(LIBOR
3M
+
4.250%),
4/27/2024
b
859,359
Energizer
Holdings,
Inc.,
Term
Loan
683,430
2.438%,
(LIBOR
1M
+
2.250%),
12/17/2025
b
671,470
Froneri
U.S.,
Inc.,
Term
Loan
585,000
0.000%,
(LIBOR
1M
+
2.250%),
1/31/2027
b,d,e
560,974
Global
Medical
Response,
Inc.,
Term
Loan
4,129,911
4.250%,
(LIBOR
3M
+
3.250%),
4/28/2022
b
4,115,085
3,960,000
0.000%,
(LIBOR
1M
+
4.750%),
9/24/2025
b,d,e
3,867,178
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
196
Principal
Amount
Bank
Loans
(1.5%)
a
Value
Consumer
Non-Cyclical
(0.3%)
-
continued
IQVIA,
Inc.,
Term
Loan
$
447,692
1.897%,
(LIBOR
1M
+
1.750%),
1/1/2025
b
$
441,071
JBS
USA
LUX
SA,
Term
Loan
1,748,375
2.147%,
(LIBOR
1M
+
2.000%),
5/1/2026
b
1,698,546
MPH
Acquisition
Holdings,
LLC,
Term
Loan
4,200,000
3.750%,
(LIBOR
3M
+
2.750%),
6/7/2023
b
4,128,012
Ortho-Clinical
Diagnostics
SA,
Term
Loan
4,202,373
3.406%,
(LIBOR
1M
+
3.250%),
6/30/2025
b
4,015,367
Plantronics,
Inc.,
Term
Loan
992,601
2.647%,
(LIBOR
1M
+
2.500%),
7/2/2025
b
930,146
R.R.
Donnelley
&
Sons
Company,
Term
Loan
276,482
5.147%,
(LIBOR
1M
+
5.000%),
1/15/2024
b
263,349
Sotera
Health
Holdings,
LLC,
Term
Loan
1,174,100
5.500%,
(LIBOR
3M
+
4.500%),
12/13/2026
b
1,168,229
US
Foods,
Inc.,
Term
Loan
661,545
1.897%,
(LIBOR
1M
+
1.750%),
6/27/2023
b
635,084
Total
30,468,176
Energy
(<0.1%)
BCP
Raptor
II,
LLC,
Term
Loan
533,250
4.897%,
(LIBOR
1M
+
4.750%),
11/3/2025
b
371,499
Buckeye
Partners,
LP,
Term
Loan
1,325,782
2.897%,
(LIBOR
1M
+
2.750%),
11/1/2026
b,d,e
1,299,266
Calpine
Corporation,
Term
Loan
1,570,281
2.400%,
(LIBOR
1M
+
2.250%),
1/15/2024
b
1,525,984
Illuminate
Buyer,
LLC,
Term
Loan
930,000
4.147%,
(LIBOR
1M
+
4.000%),
6/30/2027
b
921,286
Lealand
Finance
Company
BV,
Term
Loan
357,158
0.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b
266,679
Total
4,384,714
Financials
(0.1%)
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
968,057
2.500%,
(LIBOR
1M
+
1.750%),
1/15/2025
b
939,684
BPR
Nimbus,
LLC,
Term
Loan
1,564,592
2.647%,
(LIBOR
1M
+
2.500%),
8/24/2025
b
1,263,972
Delos
Finance
SARL,
Term
Loan
830,000
1.970%,
(LIBOR
3M
+
1.750%),
10/6/2023
b
809,665
INEOS
U.S.
Finance,
LLC,
Term
Loan
661,598
2.147%,
(LIBOR
1M
+
2.000%),
3/31/2024
b
641,565
Principal
Amount
Bank
Loans
(1.5%)
a
Value
Financials
(0.1%)
-
continued
Level
3
Financing,
Inc.,
Term
Loan
$
1,865,000
1.897%,
(LIBOR
1M
+
1.750%),
3/1/2027
b
$
1,804,966
MoneyGram
International,
Inc.,
Term
Loan
1,170,188
7.000%,
(LIBOR
3M
+
6.000%),
6/30/2023
b
1,139,470
Newco
Financing
Partnership,
Term
Loan
1,265,000
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
1,225,785
Northriver
Midstream
Finance,
LP,
Term
Loan
1,128,485
3.546%,
(LIBOR
3M
+
3.250%),
10/1/2025
b
1,088,807
Tronox
Finance,
LLC,
Term
Loan
2,145,984
3.177%,
(LIBOR
3M
+
3.000%),
9/22/2024
b
2,109,202
UPC
Financing
Partnership,
Term
Loan
1,265,000
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
1,225,785
Vericast
Corporation,
Term
Loan
414,155
5.750%,
(LIBOR
3M
+
4.750%),
11/3/2023
b,d,e
337,486
Total
12,586,387
Technology
(0.1%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
2,247,694
3.761%,
(LIBOR
3M
+
3.500%),
8/21/2026
b,d,e
2,040,344
Prime
Security
Services
Borrower,
LLC,
Term
Loan
4,047,417
4.250%,
(LIBOR
1M
+
3.250%),
9/23/2026
b
4,006,214
Rackspace
Technology
Global,
Inc.,
Term
Loan
3,685,051
4.000%,
(LIBOR
3M
+
3.000%),
11/3/2023
b
3,610,908
SS&C
Technologies,
Inc.,
Term
Loan
701,340
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
677,964
496,920
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
480,358
1,469,616
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
1,421,854
Zayo
Group
Holdings,
Inc.,
Term
Loan
2,641,725
3.147%,
(LIBOR
1M
+
3.000%),
3/9/2027
b
2,560,122
Total
14,797,764
Transportation
(0.1%)
Delta
Air
Lines,
Inc.,
Term
Loan
598,500
5.750%,
(LIBOR
3M
+
4.750%),
4/29/2023
b
597,004
Genesee
&
Wyoming,
Inc.,
Term
Loan
1,651,700
2.220%,
(LIBOR
3M
+
2.000%),
12/30/2026
b
1,623,059
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
197
Principal
Amount
Bank
Loans
(1.5%)
a
Value
Transportation
(0.1%)
-
continued
Mileage
Plus
Holdings,
LLC,
Term
Loan
$
900,000
6.250%,
(LIBOR
3M
+
5.250%),
6/20/2027
b
$
914,004
SkyMiles
IP,
Ltd.,
Term
Loan
580,000
0.000%,
(LIBOR
1M
+
3.750%),
10/20/2027
b,d,e
583,834
United
Airlines,
Inc.,
Term
Loan
1,235,399
1.895%,
(LIBOR
1M
+
1.750%),
4/1/2024
b
1,162,300
Total
4,880,201
Utilities
(<0.1%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
349,685
2.438%,
(LIBOR
1M
+
2.250%),
9/24/2026
b
348,520
Core
and
Main,
LP,
Term
Loan
1,239,937
3.750%,
(LIBOR
3M
+
2.750%),
8/1/2024
b
1,212,423
EnergySolutions
,
LLC,
Term
Loan
1,016,600
4.750%,
(LIBOR
3M
+
3.750%),
5/11/2025
b
968,312
Pacific
Gas
&
Electric
Company,
Term
Loan
2,059,838
5.500%,
(LIBOR
1M
+
4.500%),
1/1/2022
b
2,015,201
Total
4,544,456
Total
Bank
Loans
(cost
$159,679,063)
153,509,142
Shares
Registered
Investment
Companies
(
39.5%
)
Value
Unaffiliated (0.7%)
13,649
Health
Care
Select
Sector
SPDR
Fund
1,439,697
719,900
Invesco
Senior
Loan
ETF
15,650,626
16,725
iShares
Dow
Jones
US
Home
Construction
Index
Fund
947,471
30,952
ProShares
Ultra
S&P
500
h
2,274,043
117,345
SPDR
S&P
500
ETF
Trust
h
39,297,667
33,499
SPDR
S&P
Regional
Banking
ETF
1,195,244
3,570
Utilities
Select
Sector
SPDR
Fund
h
211,987
Total
61,016,735
Affiliated (38.8%)
24,965,062
Thrivent
Core
Emerging
Markets
Debt
Fund
245,156,905
5,059,964
Thrivent
Core
Emerging
Markets
Equity
Fund
i
51,611,634
10,770,058
Thrivent
Core
International
Equity
Fund
95,530,415
34,884,965
Thrivent
Core
Low
Volatility
Equity
Fund
418,968,434
30,844,699
Thrivent
Global
Stock
Portfolio
381,135,604
43,071,980
Thrivent
High
Yield
Portfolio
192,221,635
59,057,024
Thrivent
Income
Portfolio
655,119,568
52,944,850
Thrivent
International
Allocation
Portfolio
472,654,557
4,647,512
Thrivent
International
Index
Portfolio
i
51,832,772
37,121,101
Thrivent
Large
Cap
Value
Portfolio
600,222,222
34,364,543
Thrivent
Limited
Maturity
Bond
Portfolio
345,009,702
Shares
Registered
Investment
Companies
(39.5%)
Value
Affiliated (38.8%)-
continued
21,359,982
Thrivent
Mid
Cap
Stock
Portfolio
$
393,931,464
6,427,004
Thrivent
Small
Cap
Stock
Portfolio
98,995,781
Total
4,002,390,693
Total
Registered
Investment
Companies
(cost
$3,665,110,471)
4,063,407,428
Principal
Amount
Long-Term
Fixed
Income
(
28.0%
)
Value
Asset-Backed
Securities
(1.3%)
Access
Group,
Inc.
$
330,311
0.675%,
(LIBOR
1M
+
0.500%),
2/25/2036,
Ser.
2013-1,
Class
A
b,j
323,634
Aimco
3,100,000
1.578%,
(LIBOR
3M
+
1.320%),
7/22/2032,
Ser.
2019-10A,
Class
A
b,j
3,064,040
Aimco
CLO,
Ltd.
4,600,000
1.628%,
(LIBOR
3M
+
1.380%),
10/15/2031,
Ser.
2020-11A,
Class
A1
b,e,j
4,600,000
Ares
CLO,
Ltd.
4,250,000
1.673%,
(LIBOR
3M
+
1.400%),
10/17/2030,
Ser.
2018-28RA,
Class
A2
b,j
4,203,488
Ares
XXXIIR
CLO,
Ltd.
2,750,000
1.220%,
(LIBOR
3M
+
0.940%),
5/15/2030,
Ser.
2014-32RA,
Class
A1A
b,j
2,705,120
Benefit
Street
Partners
CLO
IV,
Ltd.
3,100,000
2.022%,
(LIBOR
3M
+
1.750%),
1/20/2029,
Ser.
2014-IVA,
Class
A2RR
b,j
3,085,566
Buttermilk
Park
CLO,
Ltd.
7,100,000
1.675%,
(LIBOR
3M
+
1.400%),
10/15/2031,
Ser.
2018-1A,
Class
A2
b,j
7,006,273
Carlyle
Global
Market
Strategies
CLO,
Ltd.
4,650,000
1.725%,
(LIBOR
3M
+
1.450%),
7/15/2031,
Ser.
2014-5A,
Class
A2RR
b,j
4,532,834
Carvana
Auto
Receivables
Trust
650,000
2.340%,
6/15/2023,
Ser.
2019-3A,
Class
A3
j
656,211
CBAM,
Ltd.
4,500,000
1.555%,
(LIBOR
3M
+
1.280%),
2/12/2030,
Ser.
2019-9A,
Class
A
b,j
4,485,303
CIFC
Funding,
Ltd.
1,625,000
1.848%,
(LIBOR
3M
+
1.600%),
10/20/2031,
Ser.
2020-3A,
Class
A2
b,e,j
1,624,829
Colony
American
Finance
Trust
4,883,724
2.835%,
6/15/2052,
Ser.
2019-2,
Class
A
j
5,144,989
Commonbond
Student
Loan
Trust
674,547
0.648%,
(LIBOR
1M
+
0.500%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,j
664,429
CoreVest
American
Finance
Trust
5,681,268
2.705%,
10/15/2052,
Ser.
2019-3,
Class
A
j
5,891,451
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
198
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Asset-Backed
Securities
(1.3%)
-
continued
DRB
Prime
Student
Loan
Trust
$
156,319
2.048%,
(LIBOR
1M
+
1.900%),
10/27/2031,
Ser.
2015-B,
Class
A1
b,j
$
156,883
Dryden
Senior
Loan
Fund
3,950,000
1.672%,
(LIBOR
3M
+
1.400%),
7/18/2030,
Ser.
2018-65A,
Class
A2
b,j
3,908,521
Earnest
Student
Loan
Program
2016-D,
LLC
577,071
2.720%,
1/25/2041,
Ser.
2016-D,
Class
A2
j
583,170
ECMC
Group
Student
Loan
Trust
3,000,000
1.510%,
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
b,j
2,999,998
Galaxy
XX
CLO,
Ltd.
4,500,000
1.272%,
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-20A,
Class
AR
b,j
4,433,661
Golub
Capital
Partners,
Ltd.
2,500,000
1.452%,
(LIBOR
3M
+
1.180%),
1/20/2031,
Ser.
2015-22A,
Class
AR
b,j
2,447,065
3,683,000
1.472%,
(LIBOR
3M
+
1.200%),
1/20/2031,
Ser.
2015-23A,
Class
AR
b,j
3,603,164
Goodgreen
3,887,994
3.860%,
10/15/2054,
Ser.
2019-1A,
Class
A
j
4,116,594
Home
Partners
of
America
Trust
5,477,753
2.908%,
9/17/2039,
Ser.
2019-1,
Class
A
j
5,686,456
5,423,648
2.703%,
10/19/2039,
Ser.
2019-2,
Class
A
j
5,720,586
Laurel
Road
Prime
Student
Loan
Trust
1,305,943
2.810%,
11/25/2042,
Ser.
2017-C,
Class
A2B
j
1,339,351
3,245,994
5.600%,
11/25/2043,
Ser.
2018-D,
Class
A
b,j
3,377,319
Madison
Park
Funding
XIV,
Ltd.
3,125,000
1.658%,
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,j
3,059,375
Magnetite
XII,
Ltd.
4,425,000
1.375%,
(LIBOR
3M
+
1.100%),
10/15/2031,
Ser.
2015-12A,
Class
ARR
b,j
4,376,768
Mountain
View
CLO,
Ltd.
3,175,000
1.395%,
(LIBOR
3M
+
1.120%),
7/15/2031,
Ser.
2015-9A,
Class
A1R
b,j
3,094,225
National
Collegiate
Trust
1,573,938
0.443%,
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,j
1,527,299
Neuberger
Berman
CLO
XIV,
Ltd.
3,300,000
1.277%,
(LIBOR
3M
+
1.030%),
1/28/2030,
Ser.
2013-14A,
Class
AR2
b,j
3,267,026
Neuberger
Berman
CLO,
Ltd.
1,350,000
1.288%,
(LIBOR
3M
+
1.030%),
4/22/2029,
Ser.
2014-17A,
Class
AR2
b,j
1,337,066
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Asset-Backed
Securities
(1.3%)
-
continued
Octagon
Investment
Partners
XVI,
Ltd.
$
750,000
1.673%,
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2013-1A,
Class
A2R
b,j
$
736,478
OneMain
Financial
Issuance
Trust
3,650,000
3.840%,
5/14/2032,
Ser.
2020-1A,
Class
A
j
3,838,677
OZLM
VIII,
Ltd.
1,290,231
1.443%,
(LIBOR
3M
+
1.170%),
10/17/2029,
Ser.
2014-8A,
Class
A1RR
b,j
1,275,872
Palmer
Square
Loan
Funding,
Ltd.
2,881,744
1.122%,
(LIBOR
3M
+
0.850%),
1/20/2027,
Ser.
2018-5A,
Class
A1
b,j
2,862,171
2,200,000
1.922%,
(LIBOR
3M
+
1.650%),
4/20/2027,
Ser.
2019-1A,
Class
A2
b,j
2,199,173
PPM
CLO
3,
Ltd.
2,250,000
1.673%,
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2019-3A,
Class
A
b,j
2,229,296
Pretium
Mortgage
Credit
Partners,
LLC
2,817,691
3.721%,
2/27/2060,
Ser.
2020-NPL2,
Class
A1
j,k
2,822,104
Saxon
Asset
Securities
Trust
1,204,048
3.639%,
8/25/2035,
Ser.
2004-2,
Class
MF2
b
1,216,100
Shackleton
CLO,
Ltd.
3,000,000
1.445%,
(LIBOR
3M
+
1.170%),
7/15/2031,
Ser.
2015-7RA,
Class
A1
b,j
2,948,928
SLM
Student
Loan
Trust
1,247,747
0.548%,
(LIBOR
1M
+
0.400%),
3/25/2025,
Ser.
2010-1,
Class
A
b
1,191,699
THL
Credit
Wind
River
CLO,
Ltd.
1,225,000
1.652%,
(LIBOR
3M
+
1.430%),
10/20/2033,
Ser.
2020-1A,
Class
A
b,e,j
1,225,000
U.S.
Small
Business
Administration
228,442
3.191%,
3/10/2024,
Ser.
2014-10A,
Class
1
236,189
Voya
CLO,
Ltd.
2,096,725
1.475%,
(LIBOR
3M
+
1.200%),
10/15/2030,
Ser.
2012-4A,
Class
A1AR
b,j
2,067,258
Whitebox
CLO
II,
Ltd.
1,900,000
2.492%,
(LIBOR
3M
+
2.250%),
10/24/2031,
Ser.
2020-2A,
Class
B
b,j
1,900,378
Total
129,772,017
Basic
Materials
(0.3%)
Air
Products
and
Chemicals,
Inc.
1,500,000
2.700%,
5/15/2040
1,594,331
Alcoa
Nederland
Holding
BV
700,000
5.500%,
12/15/2027
j
729,540
Anglo
American
Capital
plc
1,115,000
4.875%,
5/14/2025
j
1,269,745
BWAY
Holding
Company
640,000
5.500%,
4/15/2024
j
642,266
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
199
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Basic
Materials
(0.3%)
-
continued
Cleveland-Cliffs,
Inc.
$
510,000
5.750%,
3/1/2025
h
$
474,300
430,000
9.875%,
10/17/2025
j
479,987
Dow
Chemical
Company
650,000
4.800%,
11/30/2028
781,766
DowDuPont
,
Inc.
1,475,000
4.493%,
11/15/2025
1,696,113
EI
du
Pont
de
Nemours
&
Company
860,000
2.300%,
7/15/2030
911,761
First
Quantum
Minerals,
Ltd.
950,000
7.500%,
4/1/2025
j
939,654
Freeport-McMoRan,
Inc.
660,000
4.125%,
3/1/2028
668,250
710,000
4.250%,
3/1/2030
727,750
Glencore
Funding,
LLC
760,000
4.125%,
5/30/2023
j
814,788
950,000
4.000%,
3/27/2027
j
1,036,913
International
Paper
Company
1,888,000
4.350%,
8/15/2048
2,305,941
Kinross
Gold
Corporation
770,000
5.950%,
3/15/2024
878,053
1,150,000
4.500%,
7/15/2027
1,303,705
Krayton
Polymers,
LLC
910,000
7.000%,
4/15/2025
j
928,200
Methanex
Corporation
1,040,000
5.250%,
12/15/2029
1,028,300
Norbord,
Inc.
970,000
5.750%,
7/15/2027
j
1,024,611
Novelis
Corporation
1,125,000
5.875%,
9/30/2026
j
1,155,937
290,000
4.750%,
1/30/2030
j
283,031
OCI
NV
770,000
4.625%,
10/15/2025
e,j
770,000
Olin
Corporation
1,105,000
5.125%,
9/15/2027
h
1,093,950
Peabody
Securities
Finance
Corporation
835,000
6.375%,
3/31/2025
j
334,000
Syngenta
Finance
NV
1,375,000
3.933%,
4/23/2021
j
1,392,730
Teck
Resources,
Ltd.
1,267,000
6.125%,
10/1/2035
1,513,297
Tronox
Finance
plc
1,050,000
5.750%,
10/1/2025
j
1,034,250
Vale
Overseas,
Ltd.
1,135,000
6.250%,
8/10/2026
1,342,138
514,000
6.875%,
11/21/2036
667,558
Total
29,822,865
Capital
Goods
(0.4%)
AECOM
1,730,000
5.125%,
3/15/2027
1,868,608
Amsted
Industries,
Inc.
1,260,000
5.625%,
7/1/2027
j
1,340,413
Ardagh
Packaging
Finance
plc
499,000
6.000%,
2/15/2025
j
518,112
730,000
5.250%,
8/15/2027
j
743,870
BAE
Systems
plc
1,850,000
1.900%,
2/15/2031
j
1,830,951
Carrier
Global
Corporation
1,050,000
2.700%,
2/15/2031
j
1,093,125
Cintas
Corporation
No.
2
1,125,000
3.700%,
4/1/2027
1,296,319
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Capital
Goods
(0.4%)
-
continued
CNH
Industrial
Capital,
LLC
$
1,452,000
4.875%,
4/1/2021
$
1,480,016
CNH
Industrial
NV
915,000
3.850%,
11/15/2027
988,722
Covanta
Holding
Corporation
890,000
6.000%,
1/1/2027
925,600
180,000
5.000%,
9/1/2030
181,674
Crown
Cork
&
Seal
Company,
Inc.
1,200,000
7.375%,
12/15/2026
1,426,656
Emerson
Electric
Company
1,500,000
1.800%,
10/15/2027
1,564,036
H&E
Equipment
Services,
Inc.
890,000
5.625%,
9/1/2025
927,825
Ingersoll-Rand
Luxembourg
Finance
SA
1,575,000
3.500%,
3/21/2026
1,761,456
Jeld-Wen
,
Inc.
650,000
4.625%,
12/15/2025
j
653,250
L3Harris
Technologies,
Inc.
2,150,000
3.950%,
5/28/2024
2,368,130
Lockheed
Martin
Corporation
696,000
3.600%,
3/1/2035
834,688
1,544,000
4.500%,
5/15/2036
1,959,970
374,000
6.150%,
9/1/2036
553,663
Northrop
Grumman
Corporation
2,575,000
3.850%,
4/15/2045
3,004,016
Republic
Services,
Inc.
1,100,000
2.900%,
7/1/2026
1,216,183
Reynolds
Group
Issuer,
Inc.
1,935,000
5.125%,
7/15/2023
j
1,959,187
Roper
Technologies,
Inc.
945,000
1.400%,
9/15/2027
954,068
668,000
4.200%,
9/15/2028
796,978
945,000
1.750%,
2/15/2031
942,642
Siemens
Financieringsmaatschappij
NV
615,000
4.200%,
3/16/2047
j
801,165
Standard
Industries,
Inc.
1,290,000
4.375%,
7/15/2030
j
1,322,592
Textron,
Inc.
1,010,000
3.375%,
3/1/2028
1,089,993
TransDigm
,
Inc.
500,000
6.250%,
3/15/2026
j
524,275
1,410,000
5.500%,
11/15/2027
1,355,081
United
Rentals
North
America,
Inc.
1,870,000
4.000%,
7/15/2030
1,912,075
United
Technologies
Corporation
900,000
4.450%,
11/16/2038
1,106,426
1,200,000
3.750%,
11/1/2046
1,371,506
WESCO
Distribution,
Inc.
290,000
7.250%,
6/15/2028
j
317,746
Total
42,991,017
Collateralized
Mortgage
Obligations
(1.1%)
Ajax
Mortgage
Loan
Trust
3,586,187
4.360%,
9/25/2065,
Ser.
2018-C,
Class
A
b,j
3,644,359
Alternative
Loan
Trust
735,365
6.000%,
8/1/2036,
Ser.
2006-24CB,
Class
A9
595,226
Angel
Oak
Mortgage
Trust
I,
LLC
1,092,076
3.500%,
7/25/2046,
Ser.
2016-1,
Class
A1
j
1,135,354
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
200
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Collateralized
Mortgage
Obligations
(1.1%)
-
continued
Bellemeade
Re,
Ltd.
$
634,720
1.748%,
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,j
$
628,474
1,152,833
1.248%,
(LIBOR
1M
+
1.100%),
7/25/2029,
Ser.
2019-3A,
Class
M1A
b,j
1,150,511
3,625,000
2.798%,
(LIBOR
1M
+
2.650%),
6/25/2030,
Ser.
2020-1A,
Class
M1A
b,j
3,632,452
BRAVO
Residential
Funding
Trust
440,712
3.500%,
3/25/2058,
Ser.
2019-1,
Class
A1C
j
455,052
Citicorp
Mortgage
Securities,
Inc.
2,957,752
6.000%,
7/25/2037,
Ser.
2007-6,
Class
1A4
2,897,375
Citigroup
Mortgage
Loan
Trust,
Inc.
425,523
5.500%,
11/25/2035,
Ser.
2005-9,
Class
21A2
435,792
Countrywide
Alternative
Loan
Trust
838,605
3.201%,
10/25/2035,
Ser.
2005-43,
Class
4A1
b
797,617
989,478
6.000%,
4/25/2036,
Ser.
2006-4CB,
Class
1A1
693,439
1,985,118
7.000%,
10/25/2037,
Ser.
2007-24,
Class
A10
1,116,760
Countrywide
Home
Loans,
Inc.
493,409
5.750%,
4/25/2037,
Ser.
2007-3,
Class
A27
366,980
Credit
Suisse
Mortgage
Capital
Certificates
2,083,249
3.393%,
2/25/2024,
Ser.
2020-BPL1,
Class
A1
j,k
2,084,135
Credit
Suisse
Mortgage
Trust
2,400,000
3.453%,
3/25/2026,
Ser.
2020-BPL2,
Class
A1
b,c,j
2,400,000
4,030,440
3.850%,
9/25/2057,
Ser.
2018-RPL9,
Class
A1
b,j
4,327,846
8,080,203
3.507%,
2/25/2060,
Ser.
2020-RPL2,
Class
A12
b,j
8,084,229
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
216,044
6.000%,
10/25/2021,
Ser.
2006-AR5,
Class
23A
190,039
Ellington
Financial
Mortgage
Trust
2,000,529
4.140%,
10/25/2058,
Ser.
2018-1,
Class
A1FX
b,j
2,050,754
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
2,330,315
4.000%,
7/15/2031,
Ser.
4104,
Class
KI
l
138,130
2,186,217
3.000%,
2/15/2033,
Ser.
4170,
Class
IG
l
209,698
4,275,609
3.000%,
3/15/2033,
Ser.
4180,
Class
PI
l
431,031
Federal
National
Mortgage
Association
-
REMIC
7,013,586
3.000%,
12/25/2027,
Ser.
2012-137,
Class
AI
l
422,590
FWD
Securitization
Trust
3,344,388
2.810%,
6/25/2049,
Ser.
2019-INV1,
Class
A1
b,j
3,421,909
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Collateralized
Mortgage
Obligations
(1.1%)
-
continued
Galton
Funding
Mortgage
Trust
2017-1
$
1,828,003
4.500%,
10/25/2058,
Ser.
2018-2,
Class
A41
b,j
$
1,868,186
GCAT
Trust
199,395
2.985%,
2/25/2059,
Ser.
2019-NQM1,
Class
A1
j,k
202,489
GS
Mortgage-Backed
Securities
Trust
1,007,828
2.625%,
1/25/2059,
Ser.
2019-SL1,
Class
A1
b,j
1,025,058
J.P.
Morgan
Alternative
Loan
Trust
1,081,572
6.500%,
3/25/2036,
Ser.
2006-S1,
Class
1A19
877,980
Legacy
Mortgage
Asset
Trust
744,537
3.250%,
2/25/2060,
Ser.
2020-GS4,
Class
A1
j,k
755,226
MASTR
Alternative
Loans
Trust
1,323,699
0.598%,
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
b
224,367
Merrill
Lynch
Alternative
Note
Asset
Trust
423,790
6.000%,
3/25/2037,
Ser.
2007-F1,
Class
2A1
281,655
MFA
NQM1
Trust
1,307,781
1.787%,
8/25/2049,
Ser.
2020-NQM1,
Class
A2
b,j
1,314,476
MFRA
Trust
1,952,915
4.164%,
7/25/2048,
Ser.
2018-NPL2,
Class
A1
j,k
1,955,541
New
Residential
Mortgage
Loan
Trust
2,666,248
4.335%,
7/25/2060,
Ser.
2020-NPL1,
Class
A1
j,k
2,669,438
Preston
Ridge
Partners
Mortgage
Trust,
LLC
4,250,000
2.857%,
9/25/2025,
Ser.
2020-3A1
e,k
4,249,929
2,686,694
4.500%,
1/25/2024,
Ser.
2019-1A,
Class
A1
j,k
2,707,281
2,772,083
3.500%,
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,j
2,775,676
RCO
Mortgage,
LLC
4,710,546
3.475%,
11/25/2024,
Ser.
2019-2,
Class
A1
j,k
4,699,666
1,074,130
4.270%,
12/26/2053,
Ser.
2018-VFS1,
Class
A1
b,j
1,129,396
Renaissance
Home
Equity
Loan
Trust
3,416,246
5.580%,
11/25/2036,
Ser.
2006-3,
Class
AF2
k
1,890,346
Residential
Accredit
Loans,
Inc.
Trust
1,343,951
6.000%,
8/25/2035,
Ser.
2005-QS10,
Class
2A
1,345,192
Sequoia
Mortgage
Trust
1,207,237
3.426%,
9/20/2046,
Ser.
2007-1,
Class
4A1
b
932,473
Silver
Hill
Trust
1,586,721
3.102%,
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,j
1,612,581
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
201
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Collateralized
Mortgage
Obligations
(1.1%)
-
continued
Starwood
Mortgage
Residential
Trust
$
1,275,331
2.718%,
4/25/2060,
Ser.
2020-2,
Class
A1
b,j
$
1,280,355
Toorak
Mortgage
Corporation
2,750,000
4.458%,
3/25/2022,
Ser.
2019-1,
Class
A1
j,k
2,813,687
8,500,000
3.721%,
9/25/2022,
Ser.
2019-2,
Class
A1
8,660,483
1,750,000
2.734%,
3/25/2023,
Ser.
2020-1,
Class
A1
j,k
1,756,154
Vericrest
Opportunity
Loan
Transferee
2,634,931
3.352%,
8/25/2049,
Ser.
2019-NPL4,
Class
A1A
j,k
2,637,554
Verus
Securitization
Trust
517,989
3.836%,
2/25/2059,
Ser.
2019-1,
Class
A1
b,j
525,024
429,206
3.211%,
5/25/2059,
Ser.
2019-2,
Class
A1
b,j
438,864
1,016,809
3.345%,
5/25/2059,
Ser.
2019-2,
Class
A2
b,j
1,036,565
3,433,359
2.913%,
7/25/2059,
Ser.
2019-INV2,
Class
A1
b,j
3,511,418
2,085,722
2.947%,
11/25/2059,
Ser.
2019-INV3,
Class
A2
b,j
2,123,107
1,796,061
1.977%,
3/25/2060,
Ser.
2020-INV1,
Class
A1
b,j
1,815,597
6,860,040
3.626%,
4/25/2060,
Ser.
2020-3,
Class
A1
b,j
7,041,025
2,080,172
2.226%,
5/25/2060,
Ser.
2020-2,
Class
A1
b,j
2,099,585
WaMu
Mortgage
Pass
Through
Certificates
118,952
3.309%,
9/25/2036,
Ser.
2006-AR10,
Class
1A2
b
111,991
434,205
3.671%,
10/25/2036,
Ser.
2006-AR12,
Class
1A1
b
419,369
Total
110,097,486
Commercial
Mortgage-Backed
Securities
(0.2%)
BFLD
Trust
3,000,000
1.350%,
(LIBOR
1M
+
1.150%),
10/15/2022,
Ser.
2020-EYP,
Class
A
b,e,j
3,000,000
1,100,000
1.800%,
(LIBOR
1M
+
1.700%),
10/15/2022,
Ser.
2020-EYP,
Class
B
b,e,j
1,100,000
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
1,547,417
3.000%,
3/15/2045,
Ser.
4741,
Class
GA
1,602,079
Federal
National
Mortgage
Association
-
ACES
30,496,998
1.895%,
12/25/2028,
Ser.
2020-M11,
Class
IO
b,l
3,605,129
GS
Mortgage
Securities
Trust
6,600,000
3.666%,
9/10/2047,
Ser.
2014-GC24,
Class
A4
7,136,959
Morgan
Stanley
Capital
I
Trust
19,993,054
1.973%,
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,l
2,986,107
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Commercial
Mortgage-Backed
Securities
(0.2%)
-
continued
UBS
Commercial
Mortgage
Trust
$
3,525,000
2.921%,
10/15/2052,
Ser.
2019-C17,
Class
A4
$
3,877,462
Total
23,307,736
Communications
Services
(0.9%)
Altice
France
SA
550,000
5.500%,
1/15/2028
j
556,875
American
Tower
Corporation
900,000
2.900%,
1/15/2030
971,427
1,500,000
2.100%,
6/15/2030
1,514,542
AT&T,
Inc.
1,532,000
3.500%,
9/15/2053
j
1,492,529
1,500,000
2.300%,
6/1/2027
1,573,486
1,825,000
4.350%,
3/1/2029
2,142,112
1,037,000
4.300%,
2/15/2030
1,227,756
1,475,000
5.250%,
3/1/2037
1,845,658
1,460,000
4.900%,
8/15/2037
1,761,627
575,000
5.550%,
8/15/2041
745,312
2,525,000
3.100%,
2/1/2043
2,463,284
British
Telecommunications
plc
1,475,000
4.500%,
12/4/2023
1,632,088
CCO
Holdings,
LLC
900,000
5.125%,
5/1/2027
j
946,998
2,100,000
4.750%,
3/1/2030
j
2,223,375
370,000
4.250%,
2/1/2031
j
383,283
CCOH
Safari,
LLC
1,300,000
5.750%,
2/15/2026
j
1,352,000
Charter
Communications
Operating,
LLC
700,000
4.500%,
2/1/2024
776,060
1,800,000
4.200%,
3/15/2028
2,043,913
1,525,000
6.484%,
10/23/2045
2,032,843
Comcast
Corporation
1,550,000
4.950%,
10/15/2058
2,218,678
800,000
4.049%,
11/1/2052
980,092
900,000
3.950%,
10/15/2025
1,032,092
1,500,000
4.250%,
10/15/2030
1,841,243
1,265,000
4.400%,
8/15/2035
1,599,853
1,305,000
4.750%,
3/1/2044
1,712,201
550,000
4.600%,
8/15/2045
708,063
Cox
Communications,
Inc.
1,815,000
3.350%,
9/15/2026
j
2,017,834
Crown
Castle
International
Corporation
1,158,000
5.250%,
1/15/2023
1,272,369
1,121,000
3.200%,
9/1/2024
1,208,768
CSC
Holdings,
LLC
530,000
4.125%,
12/1/2030
j
540,202
2,700,000
4.625%,
12/1/2030
j
2,712,771
Discovery
Communications,
LLC
1,850,000
4.900%,
3/11/2026
2,161,148
Embarq
Corporation
960,000
7.995%,
6/1/2036
1,136,698
Entercom
Media
Corporation
470,000
6.500%,
5/1/2027
j
408,900
Fox
Corporation
900,000
3.500%,
4/8/2030
1,014,288
Front
Range
BidCo
,
Inc.
1,180,000
4.000%,
3/1/2027
j
1,161,386
GCI,
LLC
520,000
4.750%,
10/15/2028
e,j
526,505
Gray
Television,
Inc.
935,000
5.875%,
7/15/2026
j
970,062
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
202
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Communications
Services
(0.9%)
-
continued
iHeartCommunications
,
Inc.
$
580,000
4.750%,
1/15/2028
j
$
546,620
Level
3
Financing,
Inc.
1,000,000
4.625%,
9/15/2027
j
1,027,500
980,000
4.250%,
7/1/2028
j
995,014
Netflix,
Inc.
1,680,000
4.875%,
4/15/2028
1,877,400
Nexstar
Escrow
Corporation
750,000
5.625%,
7/15/2027
j
786,713
Nielsen
Finance,
LLC
230,000
5.625%,
10/1/2028
j
236,325
Omnicom
Group,
Inc.
750,000
3.600%,
4/15/2026
845,420
435,000
4.200%,
6/1/2030
508,911
SBA
Communications
Corporation
570,000
3.875%,
2/15/2027
j
578,550
SFR
Group
SA
1,250,000
7.375%,
5/1/2026
j
1,309,875
Sirius
XM
Radio,
Inc.
1,760,000
5.000%,
8/1/2027
j
1,838,443
Sprint
Capital
Corporation
760,000
6.875%,
11/15/2028
946,455
380,000
8.750%,
3/15/2032
556,248
Sprint
Corporation
1,200,000
7.250%,
9/15/2021
1,255,500
1,680,000
7.625%,
2/15/2025
1,965,600
Telesat
Canada
/
Telesat
,
LLC
630,000
4.875%,
6/1/2027
j
632,552
Time
Warner
Entertainment
Company,
LP
1,691,000
8.375%,
3/15/2023
1,987,138
T-Mobile
USA,
Inc.
1,870,000
4.500%,
2/1/2026
1,926,848
1,450,000
3.750%,
4/15/2027
j
1,623,333
1,100,000
4.375%,
4/15/2040
j
1,289,387
Univision
Communications,
Inc.
980,000
6.625%,
6/1/2027
j
956,725
VeriSign,
Inc.
400,000
4.750%,
7/15/2027
424,000
Verizon
Communications,
Inc.
1,876,000
3.376%,
2/15/2025
2,088,835
4,065,000
4.272%,
1/15/2036
5,006,680
Viacom,
Inc.
1,140,000
5.850%,
9/1/2043
1,428,327
Virgin
Media
Secured
Finance
plc
1,590,000
5.500%,
8/15/2026
j
1,657,575
Vodafone
Group
plc
1,600,000
4.875%,
6/19/2049
1,983,678
VTR
Finance
BV
350,000
6.375%,
N/
A
j
367,500
Walt
Disney
Company
1,400,000
2.200%,
1/13/2028
1,471,818
2,000,000
2.650%,
1/13/2031
2,153,062
1,700,000
3.500%,
5/13/2040
1,903,974
Windstream
Services,
LLC
780,000
8.625%,
10/31/2025
*,f
468,000
Ziggo
BV
809,000
5.500%,
1/15/2027
j
847,428
Total
96,399,755
Consumer
Cyclical
(0.7%)
1011778
B.C.,
ULC
1,790,000
4.375%,
1/15/2028
j
1,825,442
Allied
Universal
Holdco,
LLC
570,000
6.625%,
7/15/2026
j
607,050
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Consumer
Cyclical
(0.7%)
-
continued
Allison
Transmission,
Inc.
$
1,270,000
5.000%,
10/1/2024
j
$
1,282,776
Amazon.com,
Inc.
150,000
1.500%,
6/3/2030
153,141
1,870,000
3.875%,
8/22/2037
2,325,279
1,122,000
4.050%,
8/22/2047
1,450,188
American
Honda
Finance
Corporation
200,000
2.150%,
9/10/2024
210,423
Brookfield
Property
REIT,
Inc.
340,000
5.750%,
5/15/2026
j
267,944
Brookfield
Residential
Properties,
Inc.
1,615,000
6.250%,
9/15/2027
j
1,628,606
Carnival
Corporation
370,000
11.500%,
4/1/2023
j
414,763
390,000
10.500%,
2/1/2026
j
431,925
Cedar
Fair,
LP
720,000
5.250%,
7/15/2029
683,554
Colt
Merger
Sub,
Inc.
1,180,000
6.250%,
7/1/2025
j
1,230,150
CVS
Health
Corporation
1,500,000
3.625%,
4/1/2027
1,684,517
D.R.
Horton,
Inc.
1,515,000
2.550%,
12/1/2020
1,520,122
1,500,000
2.600%,
10/15/2025
1,608,283
Dana,
Inc.
760,000
5.625%,
6/15/2028
784,700
Ford
Motor
Company
340,000
9.000%,
4/22/2025
389,813
190,000
9.625%,
4/22/2030
245,337
660,000
7.450%,
7/16/2031
756,895
Ford
Motor
Credit
Company,
LLC
1,940,000
4.063%,
11/1/2024
1,937,575
700,000
4.134%,
8/4/2025
693,290
General
Motors
Company
1,425,000
6.125%,
10/1/2025
1,655,027
1,500,000
6.800%,
10/1/2027
1,822,909
General
Motors
Financial
Company,
Inc.
1,635,000
3.150%,
6/30/2022
1,679,447
760,000
3.950%,
4/13/2024
804,000
Hanesbrands,
Inc.
1,400,000
4.875%,
5/15/2026
j
1,494,500
Herc
Holdings,
Inc.
480,000
5.500%,
7/15/2027
j
496,632
Hilton
Domestic
Operating
Company,
Inc.
1,790,000
4.875%,
1/15/2030
1,843,700
Home
Depot,
Inc.
1,755,000
5.400%,
9/15/2040
2,483,259
1,140,000
4.250%,
4/1/2046
1,449,949
970,000
3.900%,
6/15/2047
1,194,942
Hyundai
Capital
America
945,000
1.250%,
9/18/2023
j
942,820
International
Game
Technology
plc
770,000
5.250%,
1/15/2029
j
778,662
KB
Home
650,000
4.800%,
11/15/2029
716,625
L
Brands,
Inc.
460,000
6.625%,
10/1/2030
j
468,050
Landry's,
Inc.
580,000
6.750%,
10/15/2024
j
484,300
Lennar
Corporation
925,000
4.125%,
1/15/2022
945,813
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
203
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Consumer
Cyclical
(0.7%)
-
continued
$
1,895,000
4.875%,
12/15/2023
$
2,037,362
585,000
4.500%,
4/30/2024
627,413
Mastercard
,
Inc.
1,135,000
3.300%,
3/26/2027
1,297,496
1,070,000
3.950%,
2/26/2048
1,358,904
Mattamy
Group
Corporation
1,540,000
5.250%,
12/15/2027
j
1,582,350
McDonald's
Corporation
1,500,000
2.125%,
3/1/2030
1,559,746
1,755,000
4.450%,
3/1/2047
2,175,041
MGM
Resorts
International
1,530,000
6.000%,
3/15/2023
1,587,230
Norwegian
Cruise
Line
Holdings,
Ltd.
370,000
10.250%,
2/1/2026
j
385,494
Prime
Security
Services
Borrower,
LLC
1,460,000
5.750%,
4/15/2026
j
1,561,295
280,000
3.375%,
8/31/2027
j
269,150
Royal
Caribbean
Cruises,
Ltd.
390,000
9.125%,
6/15/2023
j
413,400
280,000
11.500%,
6/1/2025
j
325,430
Scientific
Games
International,
Inc.
910,000
5.000%,
10/15/2025
j
915,688
ServiceMaster
Company,
LLC
1,330,000
5.125%,
11/15/2024
j
1,359,925
Six
Flags
Entertainment
Corporation
550,000
5.500%,
4/15/2027
h,j
521,565
Six
Flags
Theme
Parks,
Inc.
360,000
7.000%,
7/1/2025
j
382,950
Staples,
Inc.
970,000
7.500%,
4/15/2026
j
893,816
Target
Corporation
1,300,000
2.250%,
4/15/2025
1,387,906
TJX
Companies,
Inc.
875,000
3.875%,
4/15/2030
1,037,067
ViacomCBS
,
Inc.
1,400,000
4.200%,
5/19/2032
1,598,056
Visa,
Inc.
1,500,000
2.700%,
4/15/2040
1,619,418
Volkswagen
Group
of
America
Finance,
LLC
950,000
4.250%,
11/13/2023
j
1,043,764
Walmart,
Inc.
1,300,000
3.250%,
7/8/2029
1,514,674
Wyndham
Destinations,
Inc.
470,000
6.625%,
7/31/2026
j
492,377
Wyndham
Hotels
&
Resorts,
Inc.
280,000
4.375%,
8/15/2028
j
271,600
Yum!
Brands,
Inc.
1,290,000
4.750%,
1/15/2030
j
1,389,975
Total
71,001,500
Consumer
Non-Cyclical
(1.1%)
Abbott
Laboratories
1,445,000
4.750%,
11/30/2036
1,931,255
AbbVie,
Inc.
1,450,000
2.800%,
3/15/2023
j
1,515,649
1,910,000
3.600%,
5/14/2025
2,116,562
875,000
2.950%,
11/21/2026
j
953,163
726,000
4.700%,
5/14/2045
890,816
2,500,000
4.875%,
11/14/2048
3,168,943
Albertson's
Companies,
Inc.
1,310,000
7.500%,
3/15/2026
j
1,437,122
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Consumer
Non-Cyclical
(1.1%)
-
continued
$
935,000
3.500%,
3/15/2029
j
$
907,534
Altria
Group,
Inc.
875,000
4.400%,
2/14/2026
1,007,381
3,300,000
5.800%,
2/14/2039
4,210,365
Amgen,
Inc.
1,500,000
3.375%,
2/21/2050
1,620,072
100,000
3.125%,
5/1/2025
109,673
Anheuser-Busch
Companies,
LLC
3,040,000
4.700%,
2/1/2036
3,667,216
Anheuser-Busch
InBev
Worldwide,
Inc.
2,125,000
4.750%,
4/15/2058
2,584,470
1,740,000
4.375%,
4/15/2038
2,024,027
415,000
4.600%,
4/15/2048
493,828
Anthem,
Inc.
1,185,000
3.125%,
5/15/2050
1,195,167
1,870,000
4.625%,
5/15/2042
2,339,952
Aramark
Services,
Inc.
390,000
6.375%,
5/1/2025
h,j
406,253
BAT
Capital
Corporation
1,496,000
4.540%,
8/15/2047
1,598,824
Bausch
Health
Companies,
Inc.
230,000
5.000%,
1/30/2028
j
223,388
Baxalta
,
Inc.
721,000
4.000%,
6/23/2025
819,395
Becton,
Dickinson
and
Company
1,594,000
3.734%,
12/15/2024
1,761,833
900,000
3.700%,
6/6/2027
1,019,972
Boston
Scientific
Corporation
810,000
7.375%,
1/15/2040
1,298,123
Bunge,
Ltd.
Finance
Corporation
800,000
3.500%,
11/24/2020
803,502
Campbell
Soup
Company
450,000
2.375%,
4/24/2030
467,614
Cargill,
Inc.
1,650,000
3.250%,
5/23/2029
j
1,864,660
Centene
Corporation
800,000
4.750%,
1/15/2025
822,240
280,000
4.250%,
12/15/2027
293,000
670,000
4.625%,
12/15/2029
722,702
1,110,000
3.000%,
10/15/2030
e
1,130,813
Cigna
Corporation
190,000
3.050%,
10/15/2027
203,207
1,500,000
4.800%,
8/15/2038
1,859,107
Conagra
Brands,
Inc.
1,210,000
4.300%,
5/1/2024
1,349,822
Constellation
Brands,
Inc.
1,450,000
3.600%,
2/15/2028
1,638,684
600,000
2.875%,
5/1/2030
647,401
CVS
Health
Corporation
428,000
4.100%,
3/25/2025
483,575
2,560,000
4.875%,
7/20/2035
3,251,814
DaVita,
Inc.
910,000
4.625%,
6/1/2030
j
934,024
DENTSPLY
SIRONA,
Inc.
1,785,000
3.250%,
6/1/2030
1,939,318
Edgewell
Personal
Care
Company
380,000
5.500%,
6/1/2028
j
399,847
Encompass
Health
Corporation
1,030,000
4.500%,
2/1/2028
1,035,150
Energizer
Holdings,
Inc.
1,190,000
4.750%,
6/15/2028
j
1,231,531
Express
Scripts
Holding
Company
1,600,000
4.800%,
7/15/2046
1,724,092
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
204
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Consumer
Non-Cyclical
(1.1%)
-
continued
General
Mills,
Inc.
$
715,000
2.875%,
4/15/2030
$
784,003
Gilead
Sciences,
Inc.
3,000,000
2.600%,
10/1/2040
2,993,164
HCA,
Inc.
2,610,000
5.375%,
2/1/2025
2,857,950
HLF
Financing
SARL,
LLC
550,000
7.250%,
8/15/2026
j
565,125
Imperial
Brands
Finance
plc
1,600,000
3.875%,
7/26/2029
j
1,732,051
JBS
Investments
II
GmbH
560,000
5.750%,
1/15/2028
j
582,400
JBS
USA,
LLC
930,000
5.750%,
6/15/2025
j
958,644
640,000
5.500%,
1/15/2030
j
697,600
Kellogg
Company
1,400,000
2.100%,
6/1/2030
1,433,130
Keurig
Dr.
Pepper,
Inc.
1,125,000
3.200%,
5/1/2030
1,255,930
Kimberly-Clark
Corporation
845,000
3.100%,
3/26/2030
966,493
900,000
3.900%,
5/4/2047
1,152,917
Kraft
Foods
Group,
Inc.
910,000
5.000%,
6/4/2042
995,326
Kraft
Heinz
Foods
Company
1,140,000
4.625%,
1/30/2029
1,268,491
1,370,000
3.750%,
4/1/2030
j
1,446,211
90,000
4.250%,
3/1/2031
j
98,676
Medtronic,
Inc.
105,000
4.625%,
3/15/2045
144,246
Molina
Healthcare,
Inc.
670,000
4.375%,
6/15/2028
j
683,735
Mondelez
International,
Inc.
425,000
2.750%,
4/13/2030
462,515
Mylan,
Inc.
450,000
3.125%,
1/15/2023
j
473,579
1,570,000
4.550%,
4/15/2028
1,827,956
Par
Pharmaceutical,
Inc.
910,000
7.500%,
4/1/2027
j
953,389
Post
Holdings,
Inc.
540,000
5.750%,
3/1/2027
j
567,675
Quest
Diagnostics,
Inc.
1,400,000
2.800%,
6/30/2031
1,510,862
Reynolds
American,
Inc.
2,338,000
5.700%,
8/15/2035
2,916,220
Roche
Holdings,
Inc.
1,158,000
4.000%,
11/28/2044
j
1,554,897
Scotts
Miracle-
Gro
Company
990,000
4.500%,
10/15/2029
1,048,781
Simmons
Foods,
Inc.
600,000
5.750%,
11/1/2024
j
600,624
Smithfield
Foods,
Inc.
1,060,000
2.650%,
10/3/2021
j
1,066,555
Spectrum
Brands,
Inc.
280,000
5.500%,
7/15/2030
j
295,400
Sysco
Corporation
1,300,000
6.600%,
4/1/2040
1,750,970
Teleflex,
Inc.
770,000
4.250%,
6/1/2028
j
796,950
Tenet
Healthcare
Corporation
510,000
4.625%,
7/15/2024
511,275
1,340,000
5.125%,
11/1/2027
j
1,378,324
Teva
Pharmaceutical
Finance
Netherlands
III
BV
820,000
2.800%,
7/21/2023
784,125
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Consumer
Non-Cyclical
(1.1%)
-
continued
Thermo
Fisher
Scientific,
Inc.
$
900,000
4.133%,
3/25/2025
$
1,025,392
TreeHouse
Foods,
Inc.
370,000
4.000%,
9/1/2028
374,211
Tyson
Foods,
Inc.
748,000
3.550%,
6/2/2027
844,645
UnitedHealth
Group,
Inc.
1,815,000
2.950%,
10/15/2027
2,021,707
3,450,000
4.625%,
7/15/2035
4,532,172
VRX
Escrow
Corporation
3,240,000
6.125%,
4/15/2025
j
3,316,950
Zoetis,
Inc.
740,000
4.700%,
2/1/2043
972,565
Total
114,306,917
Energy
(0.8%)
Antero
Resources
Corporation
540,000
5.000%,
3/1/2025
337,500
Apache
Corporation
350,000
4.875%,
11/15/2027
330,750
620,000
4.375%,
10/15/2028
h
567,300
460,000
5.100%,
9/1/2040
413,494
Archrock
Partners,
LP
655,000
6.250%,
4/1/2028
j
617,337
BP
Capital
Markets
America,
Inc.
415,000
3.119%,
5/4/2026
458,363
700,000
3.543%,
4/6/2027
784,316
BP
Capital
Markets
plc
2,550,000
3.279%,
9/19/2027
2,829,507
Buckeye
Partners,
LP
380,000
4.125%,
3/1/2025
j
362,900
580,000
3.950%,
12/1/2026
541,360
210,000
4.125%,
12/1/2027
198,975
Canadian
Natural
Resources,
Ltd.
440,000
2.050%,
7/15/2025
448,881
525,000
2.950%,
7/15/2030
528,173
Canadian
Oil
Sands,
Ltd.
1,000,000
9.400%,
9/1/2021
j
1,057,058
Cheniere
Energy
Partners,
LP
1,840,000
5.625%,
10/1/2026
1,913,600
Comstock
Resources,
Inc.
400,000
9.750%,
8/15/2026
410,080
ConocoPhillips
1,870,000
6.500%,
2/1/2039
2,731,327
Continental
Resources,
Inc.
480,000
5.000%,
9/15/2022
h
476,702
400,000
4.500%,
4/15/2023
381,364
DCP
Midstream
Operating,
LP
570,000
5.625%,
7/15/2027
583,110
Diamondback
Energy,
Inc.
1,250,000
3.500%,
12/1/2029
1,205,187
El
Paso
Pipeline
Partners
Operating
Company,
LLC
1,120,000
4.300%,
5/1/2024
1,234,258
Enagas
SA
1,560,000
5.500%,
1/15/2028
j
1,404,000
Endeavor
Energy
Resources,
LP
250,000
5.500%,
1/30/2026
j
248,125
710,000
5.750%,
1/30/2028
j
713,550
Energy
Transfer
Operating,
LP
730,000
4.200%,
9/15/2023
769,219
1,600,000
6.000%,
6/15/2048
1,606,520
Energy
Transfer
Partners,
LP
970,000
4.900%,
3/15/2035
947,382
800,000
5.150%,
2/1/2043
731,115
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
205
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Energy
(0.8%)
-
continued
EnLink
Midstream
Partners,
LP
$
580,000
4.850%,
7/15/2026
$
501,764
780,000
5.600%,
4/1/2044
501,150
EOG
Resources,
Inc.
1,150,000
4.375%,
4/15/2030
1,354,176
EQM
Midstream
Partners,
LP
660,000
6.500%,
7/1/2027
j
699,613
290,000
5.500%,
7/15/2028
292,044
EQT
Corporation
1,020,000
3.900%,
10/1/2027
929,475
Equinor
ASA
1,750,000
3.000%,
4/6/2027
1,927,145
Exxon
Mobil
Corporation
750,000
4.327%,
3/19/2050
932,151
1,450,000
3.452%,
4/15/2051
1,589,020
Harvest
Midstream,
LP
490,000
7.500%,
9/1/2028
j
487,550
Kinder
Morgan
Energy
Partners,
LP
1,870,000
6.500%,
9/1/2039
2,352,690
Magellan
Midstream
Partners,
LP
1,070,000
5.000%,
3/1/2026
1,247,112
Marathon
Oil
Corporation
1,175,000
4.400%,
7/15/2027
1,168,309
Marathon
Petroleum
Corporation
2,244,000
4.750%,
12/15/2023
2,459,263
846,000
6.500%,
3/1/2041
1,030,785
MPLX,
LP
1,425,000
4.875%,
12/1/2024
1,591,720
2,244,000
4.875%,
6/1/2025
2,543,566
Murphy
Oil
Corporation
350,000
5.875%,
12/1/2027
298,914
Nabors
Industries,
Ltd.
780,000
7.250%,
1/15/2026
j
384,150
Newfield
Exploration
Company
825,000
5.625%,
7/1/2024
802,414
700,000
5.375%,
1/1/2026
658,185
Noble
Energy,
Inc.
1,850,000
5.050%,
11/15/2044
2,396,095
Occidental
Petroleum
Corporation
549,000
2.700%,
8/15/2022
512,969
1,150,000
2.900%,
8/15/2024
975,695
400,000
3.400%,
4/15/2026
319,000
360,000
8.500%,
7/15/2027
362,776
690,000
3.500%,
8/15/2029
529,092
380,000
6.450%,
9/15/2036
323,008
960,000
4.400%,
4/15/2046
684,926
ONEOK,
Inc.
1,070,000
2.200%,
9/15/2025
1,054,306
Parsley
Energy,
LLC
905,000
5.625%,
10/15/2027
j
900,475
Pioneer
Natural
Resources
Company
750,000
4.450%,
1/15/2026
867,222
Plains
All
American
Pipeline,
LP
1,600,000
4.500%,
12/15/2026
1,706,874
1,500,000
3.550%,
12/15/2029
1,450,305
QEP
Resources,
Inc.
390,000
5.625%,
3/1/2026
221,325
Sabine
Pass
Liquefaction,
LLC
1,125,000
6.250%,
3/15/2022
1,193,802
1,300,000
5.625%,
4/15/2023
1,423,899
1,500,000
5.750%,
5/15/2024
1,698,052
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Energy
(0.8%)
-
continued
Schlumberger
Holdings
Corporation
$
995,000
4.000%,
12/21/2025
j
$
1,112,619
Southwestern
Energy
Company
1,000,000
7.500%,
4/1/2026
977,500
Suncor
Energy,
Inc.
990,000
3.600%,
12/1/2024
1,077,853
Sunoco
Logistics
Partners
Operations,
LP
950,000
4.000%,
10/1/2027
969,920
Sunoco,
LP
545,000
5.875%,
3/15/2028
557,263
Targa
Resources
Partners,
LP
1,160,000
5.375%,
2/1/2027
1,166,519
Transocean
Pontus,
Ltd.
436,800
6.125%,
8/1/2025
j
390,936
W&T
Offshore,
Inc.
545,000
9.750%,
11/1/2023
j
375,320
Western
Gas
Partners,
LP
1,496,000
4.000%,
7/1/2022
1,504,864
Western
Midstream
Operating,
LP
320,000
6.250%,
2/1/2050
296,400
550,000
4.100%,
2/1/2025
523,875
570,000
3.950%,
6/1/2025
535,686
Williams
Companies,
Inc.
1,815,000
7.500%,
1/15/2031
2,386,580
Williams
Partners,
LP
935,000
4.500%,
11/15/2023
1,023,728
WPX
Energy,
Inc.
475,000
5.750%,
6/1/2026
491,625
500,000
4.500%,
1/15/2030
493,750
Total
79,086,908
Financials
(1.7%)
ACE
INA
Holdings,
Inc.
1,115,000
4.350%,
11/3/2045
1,458,077
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
1,240,000
3.500%,
1/15/2025
1,207,691
AerCap
Ireland
Capital,
Ltd.
1,250,000
3.875%,
1/23/2028
1,151,568
Aircastle
,
Ltd.
1,700,000
5.000%,
4/1/2023
1,703,726
Ally
Financial,
Inc.
975,000
5.750%,
11/20/2025
1,094,514
American
International
Group,
Inc.
60,000
4.125%,
2/15/2024
66,571
845,000
3.750%,
7/10/2025
946,621
2,085,000
3.900%,
4/1/2026
2,376,980
Australia
and
New
Zealand
Banking
Group,
Ltd.
700,000
2.950%,
7/22/2030
b,j
725,361
Aviation
Capital
Group,
LLC
1,300,000
2.875%,
1/20/2022
j
1,290,088
Avolon
Holdings
Funding,
Ltd.
800,000
5.250%,
5/15/2024
j
803,549
Banco
Santander
Mexico
SA
875,000
5.375%,
4/17/2025
j
973,000
Banco
Santander
SA
1,400,000
1.386%,
(LIBOR
3M
+
1.120%),
4/12/2023
b
1,406,252
Bank
of
America
Corporation
1,520,000
4.000%,
4/1/2024
1,684,252
1,800,000
4.200%,
8/26/2024
2,004,220
2,070,000
4.000%,
1/22/2025
2,305,417
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
206
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Financials
(1.7%)
-
continued
$
1,800,000
3.458%,
3/15/2025
b
$
1,950,801
1,825,000
3.093%,
10/1/2025
b
1,967,546
550,000
3.824%,
1/20/2028
b
623,163
1,500,000
2.496%,
2/13/2031
b
1,563,583
900,000
2.592%,
4/29/2031
b
950,388
Barclays
Bank
plc
386,000
10.179%,
6/12/2021
j
406,095
Barclays
plc
83,000
3.650%,
3/16/2025
89,522
1,475,000
3.564%,
9/23/2035
b
1,450,943
Boston
Properties,
LP
950,000
4.500%,
12/1/2028
1,119,080
BPCE
SA
1,691,000
3.500%,
10/23/2027
j
1,858,008
Camden
Property
Trust
1,975,000
3.150%,
7/1/2029
2,189,844
Capital
One
Financial
Corporation
1,800,000
4.200%,
10/29/2025
1,995,151
Cascades
USA,
Inc.
970,000
5.125%,
1/15/2026
j
1,016,269
CIT
Group,
Inc.
1,260,000
5.000%,
8/15/2022
1,299,375
310,000
5.250%,
3/7/2025
327,980
Citigroup,
Inc.
2,515,000
4.400%,
6/10/2025
2,828,295
1,520,000
3.200%,
10/21/2026
1,675,998
2,244,000
3.668%,
7/24/2028
b
2,518,828
1,140,000
4.125%,
7/25/2028
1,310,455
1,815,000
3.520%,
10/27/2028
b
2,016,689
978,000
4.650%,
7/23/2048
1,283,036
CNA
Financial
Corporation
650,000
3.900%,
5/1/2029
745,118
Comerica,
Inc.
45,000
3.700%,
7/31/2023
48,737
Commerzbank
AG
1,850,000
8.125%,
9/19/2023
j
2,105,374
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
1,715,000
3.950%,
11/9/2022
1,822,193
988,000
4.625%,
12/1/2023
1,098,784
Credit
Acceptance
Corporation
620,000
5.125%,
12/31/2024
j
615,679
Credit
Agricole
SA
1,125,000
3.250%,
1/14/2030
j
1,207,555
Credit
Suisse
Group
AG
900,000
7.250%,
9/12/2025
b,j,m
975,375
1,800,000
2.193%,
6/5/2026
b,j
1,858,600
1,385,000
3.869%,
1/12/2029
b,j
1,544,916
Danske
Bank
AS
1,225,000
3.244%,
12/20/2025
b,j
1,303,519
Deutsche
Bank
AG
2,125,000
3.547%,
9/18/2031
b
2,135,367
Discover
Bank
900,000
2.450%,
9/12/2024
949,352
1,670,000
4.682%,
8/9/2028
b
1,750,728
Duke
Realty,
LP
925,000
2.875%,
11/15/2029
1,008,376
ERP
Operating,
LP
337,000
3.375%,
6/1/2025
372,910
ESH
Hospitality,
Inc.
590,000
5.250%,
5/1/2025
j
595,900
290,000
4.625%,
10/1/2027
j
284,568
Fidelity
National
Financial,
Inc.
1,300,000
5.500%,
9/1/2022
1,410,848
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Financials
(1.7%)
-
continued
First
Horizon
National
Corporation
$
1,785,000
4.000%,
5/26/2025
$
1,940,263
GE
Capital
Funding,
LLC
3,975,000
4.400%,
5/15/2030
j
4,272,728
GE
Capital
International
Funding
Company
1,630,000
4.418%,
11/15/2035
1,722,652
Goldman
Sachs
Group,
Inc.
2,600,000
4.165%,
(LIBOR
3M
+
3.922%),
11/2/2020
b,m
2,555,280
1,000,000
3.625%,
2/20/2024
1,085,856
1,130,000
4.750%,
10/21/2045
1,483,498
HCP,
Inc.
660,000
3.400%,
2/1/2025
722,176
Healthpeak
Properties,
Inc.
875,000
2.875%,
1/15/2031
926,265
HSBC
Holdings
plc
1,475,000
6.875%,
6/1/2021
b,m
1,504,500
1,850,000
3.803%,
3/11/2025
b
1,998,509
1,460,000
3.900%,
5/25/2026
1,613,397
1,400,000
4.950%,
3/31/2030
1,684,953
Icahn
Enterprises,
LP
345,000
6.750%,
2/1/2024
353,892
1,215,000
6.375%,
12/15/2025
1,248,978
International
Lease
Finance
Corporation
750,000
5.875%,
8/15/2022
802,494
J.P.
Morgan
Chase
&
Company
1,550,000
3.875%,
9/10/2024
1,714,435
2,585,000
3.125%,
1/23/2025
2,819,352
3,200,000
3.900%,
7/15/2025
3,618,939
1,475,000
4.203%,
7/23/2029
b
1,744,860
900,000
2.522%,
4/22/2031
b
957,954
2,240,000
3.882%,
7/24/2038
b
2,636,886
Kimco
Realty
Corporation
1,142,000
3.300%,
2/1/2025
1,237,118
Liberty
Mutual
Group,
Inc.
760,000
4.950%,
5/1/2022
j
809,671
Lloyds
Banking
Group
plc
1,950,000
3.870%,
7/9/2025
b
2,123,353
MassMutual
Global
Funding
1,230,000
2.750%,
6/22/2024
j
1,321,939
MetLife,
Inc.
1,300,000
4.050%,
3/1/2045
1,578,182
MGM
Growth
Properties
Operating
Partnership,
LP
410,000
4.625%,
6/15/2025
j
418,200
340,000
5.750%,
2/1/2027
366,350
Mitsubishi
UFJ
Financial
Group,
Inc.
1,870,000
3.287%,
7/25/2027
2,076,991
1,750,000
2.048%,
7/17/2030
1,766,993
Mizuho
Financial
Group,
Inc.
1,500,000
1.979%,
9/8/2031
b
1,484,184
Morgan
Stanley
760,000
4.085%,
(LIBOR
3M
+
3.810%),
1/15/2021
b,m
743,219
670,000
4.875%,
11/1/2022
724,323
600,000
2.188%,
4/28/2026
b
628,066
1,925,000
4.350%,
9/8/2026
2,225,012
2,244,000
3.591%,
7/22/2028
b
2,522,541
190,000
3.772%,
1/24/2029
b
216,361
1,600,000
3.622%,
4/1/2031
b
1,826,877
MPT
Operating
Partnership,
LP
430,000
6.375%,
3/1/2024
441,610
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
207
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Financials
(1.7%)
-
continued
$
990,000
4.625%,
8/1/2029
$
1,030,065
Nasdaq,
Inc.
750,000
3.250%,
4/28/2050
781,405
55,000
3.850%,
6/30/2026
62,516
Nationwide
Building
Society
950,000
3.622%,
4/26/2023
b,j
987,005
Natwest
Group
plc
2,200,000
3.032%,
11/28/2035
b
2,113,276
Outfront
Media
Cap,
LLC
980,000
4.625%,
3/15/2030
j
940,800
Park
Aerospace
Holdings,
Ltd.
800,000
4.500%,
3/15/2023
j
793,630
Prudential
Financial,
Inc.
1,250,000
3.700%,
3/13/2051
1,375,736
Quicken
Loans,
LLC
440,000
3.625%,
3/1/2029
j
436,150
440,000
3.875%,
3/1/2031
j
434,500
Realty
Income
Corporation
1,475,000
4.125%,
10/15/2026
1,711,433
Regency
Centers,
LP
2,100,000
4.125%,
3/15/2028
2,347,855
Reinsurance
Group
of
America,
Inc.
1,100,000
4.700%,
9/15/2023
1,214,505
Royal
Bank
of
Scotland
Group
plc
1,050,000
6.000%,
12/29/2025
b,m
1,068,375
1,375,000
4.445%,
5/8/2030
b
1,590,249
Service
Properties
Trust
490,000
4.500%,
6/15/2023
480,719
620,000
4.750%,
10/1/2026
552,513
Simon
Property
Group,
LP
1,520,000
4.250%,
11/30/2046
1,626,064
Societe
Generale
SA
1,122,000
4.750%,
11/24/2025
j
1,230,664
Springleaf
Finance
Corporation
910,000
6.875%,
3/15/2025
1,009,804
540,000
6.625%,
1/15/2028
599,292
Sumitomo
Mitsui
Financial
Group,
Inc.
1,140,000
3.010%,
10/19/2026
1,256,621
Synchrony
Financial
590,000
4.250%,
8/15/2024
641,021
925,000
3.950%,
12/1/2027
994,916
UBS
Group
Funding
Jersey,
Ltd.
1,158,000
4.125%,
9/24/2025
j
1,319,629
UDR,
Inc.
875,000
2.100%,
8/1/2032
869,416
Ventas
Realty,
LP
1,550,000
3.100%,
1/15/2023
1,611,544
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
340,000
4.250%,
12/1/2026
j
341,581
200,000
3.750%,
2/15/2027
j
196,656
340,000
4.625%,
12/1/2029
j
347,288
200,000
4.125%,
8/15/2030
j
197,000
Voya
Financial,
Inc.
1,018,000
3.125%,
7/15/2024
1,097,435
Wells
Fargo
&
Company
1,550,000
4.125%,
8/15/2023
1,688,454
1,320,000
3.000%,
2/19/2025
1,424,359
125,000
3.000%,
4/22/2026
135,959
1,475,000
3.000%,
10/23/2026
1,610,078
1,400,000
2.393%,
6/2/2028
b
1,460,032
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Financials
(1.7%)
-
continued
$
1,180,000
4.900%,
11/17/2045
$
1,494,150
Total
172,464,387
Mortgage-Backed
Securities
(8.8%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
49,875,252
3.000%,
3/25/2050
52,298,515
31,603,211
3.000%,
4/1/2050
33,138,731
20,227,534
3.500%,
7/1/2047
21,402,988
Federal
National
Mortgage
Association
11,615,554
4.500%,
5/1/2048
12,579,691
21,657,784
3.500%,
10/1/2048
22,883,494
12,910,080
3.500%,
6/1/2049
13,656,335
25,640,765
3.500%,
8/1/2049
27,150,629
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
34,500,000
1.500%,
10/1/2035
e
35,289,727
89,100,000
2.000%,
10/1/2035
e
92,580,469
129,865,000
2.500%,
10/1/2035
e
135,587,177
39,100,000
2.000%,
11/1/2035
e
40,611,856
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
93,000,000
2.000%,
10/1/2050
e
96,138,750
106,678,000
2.500%,
10/1/2050
e,n
111,886,886
60,225,000
2.000%,
11/1/2050
e,n
62,108,783
66,450,000
2.500%,
11/1/2050
e
69,551,202
39,679,399
4.000%,
7/1/2048
42,321,245
32,800,000
3.000%,
10/1/2049
e
34,359,281
Total
903,545,759
Technology
(0.6%)
Apple,
Inc.
1,405,000
3.000%,
11/13/2027
1,587,352
2,570,000
3.750%,
9/12/2047
3,159,814
Applied
Materials,
Inc.
736,000
3.300%,
4/1/2027
836,237
Avnet,
Inc.
1,100,000
3.750%,
12/1/2021
1,131,527
Baidu,
Inc.
1,200,000
3.425%,
4/7/2030
h
1,319,512
Black
Knight
InfoServ
,
LLC
140,000
3.625%,
9/1/2028
j
141,487
Broadcom
Corporation
1,146,000
3.875%,
1/15/2027
1,270,757
1,350,000
3.500%,
1/15/2028
1,461,942
Broadcom,
Inc.
1,875,000
4.750%,
4/15/2029
2,177,532
600,000
5.000%,
4/15/2030
707,694
CDW,
LLC
380,000
4.250%,
4/1/2028
393,300
CommScope
Technologies
Finance,
LLC
1,465,000
6.000%,
6/15/2025
j
1,484,851
Diamond
1
Finance
Corporation
3,110,000
6.020%,
6/15/2026
j
3,652,565
Diamond
Sports
Group,
LLC
590,000
5.375%,
8/15/2026
j
417,425
980,000
6.625%,
8/15/2027
j
509,600
Fiserv,
Inc.
2,000,000
2.250%,
6/1/2027
2,111,213
1,150,000
2.650%,
6/1/2030
1,236,648
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
208
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Technology
(0.6%)
-
continued
Gartner,
Inc.
$
420,000
4.500%,
7/1/2028
j
$
440,034
380,000
3.750%,
10/1/2030
j
384,389
Hewlett
Packard
Enterprise
Company
850,000
4.650%,
10/1/2024
961,015
Intel
Corporation
1,800,000
3.100%,
2/15/2060
1,950,233
Iron
Mountain,
Inc.
750,000
4.875%,
9/15/2029
j
763,125
750,000
5.250%,
7/15/2030
j
781,875
KLA
Corporation
1,800,000
3.300%,
3/1/2050
1,882,918
Lam
Research
Corporation
1,500,000
2.875%,
6/15/2050
1,549,315
Marvell
Technology
Group,
Ltd.
950,000
4.200%,
6/22/2023
1,025,600
1,265,000
4.875%,
6/22/2028
1,525,810
Micron
Technology,
Inc.
600,000
2.497%,
4/24/2023
623,032
Microsoft
Corporation
483,000
2.675%,
6/1/2060
505,747
2,400,000
4.200%,
11/3/2035
3,151,461
2,250,000
3.700%,
8/8/2046
2,823,297
NCR
Corporation
1,770,000
6.125%,
9/1/2029
j
1,870,217
NVIDIA
Corporation
1,500,000
3.500%,
4/1/2040
1,756,449
NXP
BV/NXP
Funding,
LLC
1,500,000
4.875%,
3/1/2024
j
1,686,528
Open
Text
Corporation
1,120,000
4.125%,
2/15/2030
j
1,151,853
Oracle
Corporation
1,065,000
2.950%,
5/15/2025
1,159,454
1,800,000
2.800%,
4/1/2027
1,974,819
1,815,000
3.850%,
7/15/2036
2,141,233
1,500,000
3.600%,
4/1/2040
1,710,676
Plantronics,
Inc.
970,000
5.500%,
5/31/2023
j
863,300
PTC,
Inc.
300,000
3.625%,
2/15/2025
j
304,500
270,000
4.000%,
2/15/2028
j
277,513
Qorvo
,
Inc.
460,000
3.375%,
4/1/2031
j
467,878
Sensata
Technologies,
Inc.
980,000
3.750%,
2/15/2031
j
973,875
SS&C
Technologies,
Inc.
1,580,000
5.500%,
9/30/2027
j
1,679,098
Switch,
Ltd.
200,000
3.750%,
9/15/2028
j
202,000
Texas
Instruments,
Inc.
1,630,000
4.150%,
5/15/2048
2,126,772
Tyco
Electronics
Group
SA
374,000
3.450%,
8/1/2024
406,600
748,000
3.125%,
8/15/2027
817,520
Vmware
,
Inc.
825,000
4.650%,
5/15/2027
961,258
Xerox
Holdings
Corporation
530,000
5.000%,
8/15/2025
j
523,783
Total
65,022,633
Transportation
(0.1%)
Air
Canada
Pass
Through
Trust
330,801
3.875%,
3/15/2023
j
284,545
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Transportation
(0.1%)
-
continued
Air
Lease
Corporation
$
610,000
3.500%,
1/15/2022
$
625,781
American
Airlines,
Inc.
190,000
11.750%,
7/15/2025
j
183,350
Burlington
Northern
Santa
Fe,
LLC
1,120,000
5.750%,
5/1/2040
1,602,751
820,000
5.050%,
3/1/2041
1,092,444
1,175,000
4.450%,
3/15/2043
1,493,571
CSX
Corporation
900,000
3.800%,
4/15/2050
1,075,273
119,000
3.700%,
11/1/2023
129,119
1,250,000
3.350%,
9/15/2049
1,379,150
Delta
Air
Lines,
Inc.
850,000
7.000%,
5/1/2025
j
933,147
Mileage
Plus
Holdings,
LLC
570,000
6.500%,
6/20/2027
j
593,512
Southwest
Airlines
Company
1,125,000
4.750%,
5/4/2023
1,201,342
1,050,000
5.125%,
6/15/2027
1,143,656
United
Parcel
Service,
Inc.
1,200,000
4.450%,
4/1/2030
1,503,091
XPO
Logistics,
Inc.
1,703,000
6.750%,
8/15/2024
j
1,803,817
Total
15,044,549
U.S.
Government
&
Agencies
(9.4%)
U.S.
Treasury
Bonds
1,500,000
2.000%,
2/15/2050
1,696,641
7,285,000
2.250%,
11/15/2027
8,189,364
72,550,000
2.875%,
5/15/2028
85,353,942
19,330,000
5.250%,
11/15/2028
26,588,566
13,650,000
1.625%,
8/15/2029
14,857,172
5,050,000
1.500%,
2/15/2030
5,446,898
2,975,000
4.375%,
5/15/2040
4,669,820
1,340,000
3.000%,
5/15/2042
1,781,258
68,726,000
2.500%,
5/15/2046
84,906,141
46,100,000
2.875%,
5/15/2049
61,721,777
1,350,000
2.375%,
11/15/2049
1,648,213
U.S.
Treasury
Notes
1,015,000
1.875%,
12/15/2020
1,018,648
22,900,000
2.500%,
2/28/2021
23,120,949
5,000,000
1.375%,
5/31/2021
5,040,234
29,350,000
1.125%,
8/31/2021
29,606,812
150,440,000
1.500%,
9/30/2021
152,449,785
4,300,000
2.500%,
1/15/2022
4,430,512
5,080,000
1.125%,
2/28/2022
5,150,247
77,255,000
0.125%,
6/30/2022
77,236,893
22,810,000
1.875%,
7/31/2022
23,535,287
16,300,000
2.000%,
11/30/2022
16,954,547
4,910,000
2.500%,
3/31/2023
5,198,271
82,550,000
2.500%,
1/31/2024
88,908,930
27,885,000
2.125%,
7/31/2024
29,926,269
28,665,000
2.250%,
11/15/2024
31,038,820
19,170,000
2.125%,
11/30/2024
20,674,396
52,575,000
2.625%,
1/31/2026
58,992,847
90,300,000
2.500%,
2/28/2026
100,857,340
Total
971,000,579
Utilities
(0.6%)
Ameren
Illinois
Company
830,000
4.500%,
3/15/2049
1,100,910
American
Water
Capital
Corporation
1,500,000
2.800%,
5/1/2030
1,641,898
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
209
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Utilities
(0.6%)
-
continued
Appalachian
Power
Company
$
750,000
3.300%,
6/1/2027
$
824,266
Berkshire
Hathaway
Energy
Company
1,165,000
4.500%,
2/1/2045
1,456,835
Calpine
Corporation
960,000
4.500%,
2/15/2028
j
983,174
CenterPoint
Energy,
Inc.
605,000
3.850%,
2/1/2024
662,682
1,400,000
2.500%,
9/1/2024
1,489,246
900,000
4.250%,
11/1/2028
1,072,403
CMS
Energy
Corporation
1,140,000
2.950%,
2/15/2027
1,213,651
Commonwealth
Edison
Company
1,300,000
3.700%,
3/1/2045
1,512,772
Consolidated
Edison
Company
of
New
York,
Inc.
1,250,000
4.125%,
5/15/2049
1,496,863
Consolidated
Edison,
Inc.
579,000
4.500%,
12/1/2045
724,421
Consumers
Energy
Company
1,200,000
4.350%,
4/15/2049
1,579,479
DTE
Electric
Company
965,000
3.700%,
3/15/2045
1,126,557
1,225,000
3.700%,
6/1/2046
1,428,141
Duke
Energy
Carolinas,
LLC
1,190,000
3.700%,
12/1/2047
1,405,607
Duke
Energy
Corporation
770,000
3.750%,
9/1/2046
876,301
Duke
Energy
Florida,
LLC
1,030,000
3.200%,
1/15/2027
1,160,586
Duke
Energy
Indiana,
LLC
1,550,000
3.750%,
5/15/2046
1,810,379
Edison
International
1,925,000
5.750%,
6/15/2027
2,124,460
Exelon
Corporation
585,000
4.700%,
4/15/2050
743,617
1,158,000
4.450%,
4/15/2046
1,403,688
FirstEnergy
Corporation
460,000
2.850%,
7/15/2022
471,476
1,395,000
4.850%,
7/15/2047
1,677,089
GFL
Environmental,
Inc.
650,000
3.750%,
8/1/2025
j
648,375
ITC
Holdings
Corporation
294,000
4.050%,
7/1/2023
317,854
760,000
5.300%,
7/1/2043
994,926
Mississippi
Power
Company
1,040,000
3.950%,
3/30/2028
1,192,940
Monongahela
Power
Company
990,000
5.400%,
12/15/2043
j
1,390,892
National
Rural
Utilities
Cooperative
Finance
Corporation
550,000
3.900%,
11/1/2028
654,150
1,050,000
3.700%,
3/15/2029
1,232,016
NextEra
Energy
Operating
Partners,
LP
1,190,000
3.875%,
10/15/2026
j
1,231,650
NiSource
Finance
Corporation
748,000
3.490%,
5/15/2027
833,274
900,000
5.650%,
2/1/2045
1,242,062
NiSource,
Inc.
1,125,000
3.600%,
5/1/2030
1,281,060
Oncor
Electric
Delivery
Company,
LLC
1,466,000
3.750%,
4/1/2045
1,747,747
Principal
Amount
Long-Term
Fixed
Income
(28.0%)
Value
Utilities
(0.6%)
-
continued
Pacific
Gas
and
Electric
Company
$
900,000
3.300%,
12/1/2027
$
925,004
900,000
3.950%,
12/1/2047
830,825
PG&E
Corporation
380,000
5.000%,
7/1/2028
368,600
300,000
5.250%,
7/1/2030
290,250
PPL
Capital
Funding,
Inc.
552,000
3.400%,
6/1/2023
587,803
1,400,000
5.000%,
3/15/2044
1,743,894
PPL
Electric
Utilities
Corporation
1,122,000
3.950%,
6/1/2047
1,369,515
Public
Service
Electric
&
Gas
Company
400,000
3.000%,
5/15/2027
443,037
San
Diego
Gas
and
Electric
Company
1,540,000
4.150%,
5/15/2048
1,870,654
South
Carolina
Electric
&
Gas
Company
1,850,000
5.100%,
6/1/2065
2,758,628
Southern
California
Edison
Company
1,500,000
4.000%,
4/1/2047
1,606,156
Southern
Company
843,000
3.250%,
7/1/2026
940,271
Southern
Company
Gas
Capital
Corporation
1,870,000
4.400%,
5/30/2047
2,257,540
Southwestern
Electric
Power
Company
620,000
3.900%,
4/1/2045
679,802
Suburban
Propane
Partners,
LP
740,000
5.875%,
3/1/2027
757,575
Talen
Energy
Supply,
LLC
760,000
7.625%,
6/1/2028
j
760,000
TerraForm
Power
Operating,
LLC
750,000
5.000%,
1/31/2028
j
821,006
Virginia
Electric
and
Power
Company
850,000
4.600%,
12/1/2048
1,157,920
Vistra
Operations
Company,
LLC
1,170,000
5.000%,
7/31/2027
j
1,228,793
Total
64,150,720
Total
Long-Term
Fixed
Income
(cost
$2,736,648,768)
2,888,014,828
Shares
Common
Stock
(
27.0%
)
Value
Communications
Services
(1.8%)
167,767
Activision
Blizzard,
Inc.
13,580,739
38,816
Alphabet,
Inc.,
Class
A
i
56,888,730
5,139
Alphabet,
Inc.,
Class
C
i
7,552,274
46,941
ANGI
Homeservices
,
Inc.
i
520,810
2,508
AT&T,
Inc.
71,503
31,568
Auto
Trader
Group
plc
j
229,198
5,440
Carsales.com,
Ltd.
81,494
26,116
Cinemark
Holdings,
Inc.
261,160
141,315
Comcast
Corporation
6,537,232
8,755
Consolidated
Communications
Holdings,
Inc.
i
49,816
4,927
Deutsche
Telekom
AG
82,035
83,263
Discovery,
Inc.,
Class
A
h,i
1,812,636
48,957
DISH
Network
Corporation
i
1,421,222
15,581
EchoStar
Corporation
i
387,811
115,308
Facebook,
Inc.
i
30,199,165
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
210
Shares
Common
Stock
(27.0%)
Value
Communications
Services
(1.8%)
-
continued
181,470
Gannett
Company,
Inc.
$
235,911
10,038
Hemisphere
Media
Group,
Inc.
i
87,230
17,000
HKT
Trust
and
HKT,
Ltd.
22,564
749
IAC/
InterActiveCorp
i
89,715
53,845
Interpublic
Group
of
Companies,
Inc.
897,596
550
Ipsos
SA
13,750
1,600
KDDI
Corporation
40,242
315,195
Live
Nation
Entertainment,
Inc.
i
16,982,707
1,899
Match
Group,
Inc.
i
210,124
19,678
Mediaset
Espana
Comunicacion
SA
i
72,878
31,468
Meredith
Corporation
412,860
12,818
News Corporation
179,196
100
Nintendo
Company,
Ltd.
56,669
1,400
Nippon
Telegraph
&
Telephone
Corporation
28,583
2,500
NTT
DOCOMO,
Inc.
91,865
5,844
Omnicom
Group,
Inc.
289,278
100,355
ORBCOMM,
Inc.
i
341,207
145,804
QuinStreet
,
Inc.
i
2,309,535
276
REA
Group,
Ltd.
21,978
1,402
Rightmove
plc
11,334
19,181
RingCentral,
Inc.
i
5,267,294
12,050
Scholastic
Corporation
252,930
21,914
Seven
West
Media,
Ltd.
i
1,762
12,200
SoftBank
Corporation
136,327
1,300
SoftBank
Group
Corporation
80,437
19,594
Take-Two
Interactive
Software,
Inc.
i
3,237,321
5,700
TV
Asahi
Holdings
Corporation
90,519
48,774
Twitter,
Inc.
i
2,170,443
418,636
Uber
Technologies,
Inc.
i
15,271,841
145,134
Verizon
Communications,
Inc.
8,634,022
32,165
Walt
Disney
Company
3,991,033
7,903
Windstream
Services,
LLC
Rights
c,i
74,999
1,276
Wolters
Kluwer
NV
108,847
37,166
Zillow
Group,
Inc.
i
3,773,836
Total
185,162,658
Consumer
Discretionary
(4.2%)
12,096
Aaron's,
Inc.
685,238
600
ABC-MART,
Inc.
31,240
21,717
Adient
plc
i
376,356
42,729
Amazon.com,
Inc.
i
134,542,084
18,685
American
Eagle
Outfitters,
Inc.
276,725
2,302
American
Public
Education,
Inc.
i
64,893
300
AOKI
Holdings,
Inc.
1,509
216,216
Aptiv
plc
19,822,683
617
ARB
Corporation,
Ltd.
12,327
1,316
Aristocrat
Leisure,
Ltd.
28,700
23,796
At
Home
Group,
Inc.
i
353,609
700
Autobacs
Seven
Company,
Ltd.
9,118
4,532
AutoNation,
Inc.
i
239,879
3,430
AutoZone,
Inc.
i
4,039,305
12,139
B&M
European
Value
Retail
SA
77,389
20,391
Beazer
Homes
USA,
Inc.
i
269,161
48,805
Bed
Bath
&
Beyond,
Inc.
h
731,099
1,109
Berkeley
Group
Holdings
plc
60,455
8,214
Big
Lots,
Inc.
366,344
26,450
BJ's
Restaurants,
Inc.
778,688
1,855
Booking
Holdings,
Inc.
i
3,173,311
500
Bridgestone
Corporation
15,805
52,367
Bright
Horizons
Family
Solutions,
Inc.
i
7,961,879
3,500
Brunswick
Corporation
206,185
1,372
Bunzl
plc
44,297
Shares
Common
Stock
(27.0%)
Value
Consumer
Discretionary
(4.2%)
-
continued
32,986
Burlington
Stores,
Inc.
i
$
6,798,085
23,655
Caesars
Entertainment,
Inc.
i
1,326,099
22,729
Camping
World
Holdings,
Inc.
676,188
39,685
Capri
Holdings,
Ltd.
i
714,330
16,766
Carnival
Corporation
254,508
526
Cavco
Industries,
Inc.
i
94,843
48,846
Cedar
Fair,
LP
1,371,107
9,721
Century
Casinos,
Inc.
i
53,271
11,784
Century
Communities,
Inc.
i
498,817
60,614
Chewy,
Inc.
h,i
3,323,466
232,735
Chico's
FAS,
Inc.
226,335
15,149
Chipotle
Mexican
Grill,
Inc.
i
18,840,963
900
Chiyoda
Company,
Ltd.
8,384
4,951
Choice
Hotels
International,
Inc.
425,588
6,408
Churchill
Downs,
Inc.
1,049,759
88
Cie
Generale
des
Etablissements
Michelin
9,447
9,200
Citizen
Watch
Company,
Ltd.
i
25,809
849
Collins
Foods,
Ltd.
6,313
200,493
Cooper-Standard
Holdings,
Inc.
i
2,648,512
8,978
Cracker
Barrel
Old
Country
Store,
Inc.
1,029,417
41,527
Crocs,
Inc.
i
1,774,449
39,054
Culp,
Inc.
485,051
27,965
D.R.
Horton,
Inc.
2,114,993
12,912
Dana,
Inc.
159,076
16,687
Darden
Restaurants,
Inc.
1,681,048
30,376
Dave
&
Buster's
Entertainment,
Inc.
h
460,500
7,812
Deckers
Outdoor
Corporation
i
1,718,718
16,398
Denny's
Corporation
i
163,980
3,600
Denso
Corporation
157,794
38,639
Designer
Brands,
Inc.
209,810
10,406
Dick's
Sporting
Goods,
Inc.
602,299
10,956
Dine
Brands
Global,
Inc.
598,088
2,953
Dollarama
,
Inc.
113,192
2,003
Dometic
Group
AB
i,j
24,730
120
Domino's
Pizza
Enterprises,
Ltd.
6,861
469
Domino's
Pizza
Group
plc
2,207
18,950
Domino's
Pizza,
Inc.
8,059,056
910
Dorman
Products,
Inc.
i
82,246
100
Doutor
Nichires
Holdings
Company,
Ltd.
1,519
177,160
Duluth
Holdings,
Inc.
i
2,164,895
4,387
Dunkin'
Brands
Group,
Inc.
359,339
5,742
eBay,
Inc.
299,158
53,485
Emerald
Holding,
Inc.
109,109
16,190
Ethan
Allen
Interiors,
Inc.
219,213
42,067
Etsy,
Inc.
i
5,116,609
368
Europris
ASA
j
1,887
200
Exedy
Corporation
2,605
28,542
Express,
Inc.
i
17,411
12,974
Extended
Stay
America,
Inc.
155,039
63,053
Five
Below,
Inc.
i
8,007,731
11,008
Foot
Locker,
Inc.
363,594
2,631
Fox
Factory
Holding
Corporation
i
195,562
16,000
Galaxy
Entertainment
Group,
Ltd.
108,171
14,491
Gap,
Inc.
246,782
15,540
Genuine
Parts
Company
1,478,942
30,510
Goodyear
Tire
&
Rubber
Company
234,012
9,864
Grand
Canyon
Education,
Inc.
i
788,528
3,382
GVC
Holdings
plc
i
42,357
54,707
Harley-Davidson,
Inc.
1,342,510
6,371
Helen
of
Troy,
Ltd.
i
1,232,916
89
Hermes
International
76,652
117,921
Home
Depot,
Inc.
32,747,841
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
211
Shares
Common
Stock
(27.0%)
Value
Consumer
Discretionary
(4.2%)
-
continued
4,180
Hovnanian
Enterprises,
Inc.
i
$
135,934
6,690
Husqvarna
AB
73,564
2,890
Industria
de
Diseno
Textil
SA
79,951
319
InterContinental
Hotels
Group
plc
i
16,745
500
Izumi
Company,
Ltd.
18,232
10,943
Jack
in
the
Box,
Inc.
867,889
19,389
KB
Home
744,344
38,727
Knoll,
Inc.
467,048
60,767
Kohl's
Corporation
1,126,012
49,320
L
Brands,
Inc.
1,568,869
26,642
Lear
Corporation
2,905,310
44,191
Leggett
&
Platt,
Inc.
1,819,343
7,675
Lithia
Motors,
Inc.
1,749,439
49,410
Lowe's
Companies,
Inc.
8,195,143
10,487
Lululemon
Athletica
,
Inc.
i
3,454,103
21
LVMH
Moet
Hennessy
Louis
Vuitton
SE
9,826
72,920
Macy's,
Inc.
h
415,644
2,831
Madison
Square
Garden
Sports
Corporation
i
426,009
22,752
Marcus
Corporation
175,873
3,828
Marriott
Vacations
Worldwide
Corporation
347,621
37,095
Mattel,
Inc.
i
434,011
18,006
McDonald's
Corporation
3,952,137
163
Mercadolibre
,
Inc.
i
176,444
10,972
Meritage
Homes
Corporation
i
1,211,199
49,206
Michaels
Companies,
Inc.
i
475,084
16,620
Miller
Industries,
Inc.
508,073
15,798
Modine
Manufacturing
Company
i
98,737
20,694
Mohawk
Industries,
Inc.
i
2,019,527
12,240
Moneysupermarket.com
Group
plc
42,192
1,860
Netflix,
Inc.
i
930,056
3,400
NHK
Spring
Company,
Ltd.
21,769
900
Nihon
Unisys,
Ltd.
28,395
160,701
NIKE,
Inc.
20,174,404
2,800
Nissan
Motor
Company,
Ltd.
i
9,902
19,461
Nordstrom,
Inc.
h
231,975
55,184
Norwegian
Cruise
Line
Holdings,
Ltd.
i
944,198
2,613
NVR,
Inc.
i
10,669,193
8,019
Office
Depot,
Inc.
155,970
75,223
Ollie's
Bargain
Outlet
Holdings,
Inc.
i
6,570,729
600
Onward
Holdings
Company,
Ltd.
1,554
200
Oriental
Land
Company,
Ltd.
28,049
9,079
Overstock.com,
Inc.
i
659,589
1,058
Pandox
AB
i
12,129
6,941
Park
Hotels
&
Resorts,
Inc.
69,341
88,736
Party
City
Holdco,
Inc.
h,i
230,714
51,680
Penn
National
Gaming,
Inc.
i
3,757,136
165,436
Planet
Fitness,
Inc.
i
10,194,166
193,479
Playa
Hotels
and
Resorts
NV
i
810,677
600
PLENUS
Company,
Ltd.
10,360
8,818
Polaris,
Inc.
831,890
4,212
Pool
Corporation
1,409,082
497
Premier
Investments,
Ltd.
7,388
32,442
PulteGroup,
Inc.
1,501,740
9,215
PVH
Corporation
549,583
57,816
Qurate
Retail,
Inc.
415,119
4,461
Red
Robin
Gourmet
Burgers,
Inc.
i
58,707
97,733
Red
Rock
Resorts,
Inc.
1,671,234
4,733
Redrow
plc
i
24,626
807
Restaurant
Brands
International,
Inc.
46,411
10,799
RH
i
4,131,913
Shares
Common
Stock
(27.0%)
Value
Consumer
Discretionary
(4.2%)
-
continued
1,100
Rinnai
Corporation
$
107,295
6,545
Royal
Caribbean
Cruises,
Ltd.
423,658
55,178
Ruth's
Hospitality
Group,
Inc.
610,269
14,510
Sally
Beauty
Holdings,
Inc.
i
126,092
1,700
Sangetsu
Company,
Ltd.
26,208
100
Sankyo
Company,
Ltd.
2,619
34
Scandic
Hotels
Group
AB
j
102
4,694
SeaWorld
Entertainment,
Inc.
i
92,566
2,100
Sekisui
House,
Ltd.
37,213
300
SHIMAMURA
Company,
Ltd.
29,143
49,815
Six
Flags
Entertainment
Corporation
1,011,244
47,054
Skyline
Corporation
i
1,259,636
16,662
Sleep
Number
Corporation
i
814,938
800
Sony
Corporation
61,314
37,440
Sony
Corporation
ADR
2,873,520
33,399
Standard
Motor
Products,
Inc.
1,491,265
63,674
Stoneridge,
Inc.
i
1,169,691
882
Strategic
Education,
Inc.
80,677
16,300
Sumitomo
Electric
Industries,
Ltd.
183,494
7,700
Sumitomo
Rubber
Industries,
Ltd.
71,526
831
Super
Retail
Group,
Ltd.
6,320
300
Takara
Standard
Company,
Ltd.
4,038
88,691
Taylor
Morrison
Home
Corporation
i
2,180,912
42,349
Tenneco,
Inc.
i
293,902
14,678
Tesla,
Inc.
i
6,297,009
114,534
Texas
Roadhouse,
Inc.
6,962,522
22,757
Thor
Industries,
Inc.
2,167,832
930
Thule
Group
AB
j
30,690
46,537
Toll
Brothers,
Inc.
2,264,490
19,746
TopBuild
Corporation
i
3,370,445
300
Toyoda
Gosei
Company,
Ltd.
6,888
400
Toyota
Motor
Corporation
26,548
18,044
Tri
Pointe
Homes,
Inc.
i
327,318
1,410
Tupperware
Brands
Corporation
i
28,426
12,702
Ulta
Beauty,
Inc.
i
2,844,994
6,986
Urban
Outfitters,
Inc.
i
145,379
7,278
Vail
Resorts,
Inc.
1,557,274
1,944
Wayfair,
Inc.
i
565,723
1,857
Whirlpool
Corporation
341,484
12,469
Williams-Sonoma,
Inc.
1,127,696
22,869
Wingstop
,
Inc.
3,125,049
7,142
Workhorse
Group,
Inc.
h,i
180,550
4,981
Wyndham
Destinations,
Inc.
153,216
6,027
YETI
Holdings,
Inc.
i
273,144
6,449
Yum!
Brands,
Inc.
588,794
45,345
Zumiez
,
Inc.
i
1,261,498
Total
433,552,913
Consumer
Staples
(0.6%)
1,000
Arcs
Company,
Ltd.
25,673
600
Asahi
Group
Holdings,
Ltd.
20,912
141,817
BJ's
Wholesale
Club
Holdings,
Inc.
i
5,892,496
633
British
American
Tobacco
plc
22,707
1,292
Carlsberg
AS
174,061
31,933
Casey's
General
Stores,
Inc.
5,672,897
76,577
Celsius
Holdings,
Inc.
i
1,739,064
53,863
Colgate-Palmolive
Company
4,155,530
8,416
Costco
Wholesale
Corporation
2,987,680
189,353
Cott
Corporation
2,688,813
136,864
e.l.f
.
Beauty,
Inc.
i
2,514,192
277
Elior
Participations
SCA
j
1,286
1,342
ForFarmers
BV
8,213
323
Glanbia
plc
3,335
84,558
Hain
Celestial
Group,
Inc.
i
2,900,339
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
212
Shares
Common
Stock
(27.0%)
Value
Consumer
Staples
(0.6%)
-
continued
5,500
Japan
Tobacco,
Inc.
$
100,341
12,685
John
B.
Sanfilippo
&
Son,
Inc.
956,195
300
Kao
Corporation
22,521
900
Kewpie
Corporation
18,511
11,885
Kimberly-Clark
Corporation
1,754,939
64,374
Lamb
Weston
Holdings,
Inc.
4,266,065
8
Lindt
&
Spruengli
AG
67,528
200
L'Oreal
SA
65,086
3,092
McCormick
&
Company,
Inc.
600,157
2,618
Medifast
,
Inc.
430,530
300
Ministop
Company,
Ltd.
4,217
36,858
Monster
Beverage
Corporation
i
2,956,012
4,058
Nestle
SA
482,951
1,427
Orkla
ASA
14,402
32,657
PepsiCo,
Inc.
4,526,260
12,985
Philip
Morris
International,
Inc.
973,745
26,165
Procter
&
Gamble
Company
3,636,673
121
Royal
Unibrew
AS
12,472
10,104
Seneca
Foods
Corporation
i
361,016
1,300
Seven
&
I
Holdings
Company,
Ltd.
40,391
5,066
Simply
Good
Foods
Company
i
111,705
1,200
Sugi
Holdings
Company,
Ltd.
84,845
1,200
Sundrug
Company,
Ltd.
45,234
8,007
TreeHouse
Foods,
Inc.
i
324,524
168,751
Turning
Point
Brands,
Inc.
4,708,153
100
Unicharm
Corporation
4,472
732
Unilever
NV
44,453
4,052
Vector
Group,
Ltd.
39,264
64,690
Wal-Mart
Stores,
Inc.
9,050,778
Total
64,510,638
Energy
(0.4%)
103,503
Abraxas
Petroleum
Corporation
i
15,111
46,189
Antero
Midstream
Corporation
248,035
64,533
Apache
Corporation
611,127
185,903
Archrock
,
Inc.
1,000,158
94,099
BP
plc
ADR
1,642,969
100,615
Centennial
Resource
Development,
Inc.
i
60,610
13,034
CGG
SA
i
8,693
15,284
ChampionX
Corporation
i
122,119
40,255
Chevron
Corporation
2,898,360
78,441
Cimarex
Energy
Company
1,908,470
47,397
CNX
Resources
Corporation
i
447,428
35,558
Concho
Resources,
Inc.
1,568,819
25,520
ConocoPhillips
838,077
39,358
Continental
Resources,
Inc.
h
483,316
50,907
Core
Laboratories
NV
776,841
20,647
Delek
US
Holdings,
Inc.
229,801
200,838
Devon
Energy
Corporation
1,899,927
69,668
Diamondback
Energy,
Inc.
2,098,400
14,700
Eneos
Holdings,
Inc.
52,448
9,632
Eni
SPA
75,285
156,145
EnLink
Midstream,
LLC
366,941
65,689
Enterprise
Products
Partners,
LP
1,037,229
24,959
EOG
Resources,
Inc.
897,026
90,676
EQT
Corporation
1,172,441
5,402
Equinor
ASA
76,534
61,486
Equitrans
Midstream
Corporation
520,172
8,914
Evolution
Petroleum
Corporation
19,967
60,457
Exterran
Corporation
i
251,501
47,186
Exxon
Mobil
Corporation
1,619,895
86,909
Frank's
International
NV
i
133,840
177
Gaztransport
Et
Technigaz
SA
16,879
1,752
Gibson
Energy,
Inc.
28,394
Shares
Common
Stock
(27.0%)
Value
Energy
(0.4%)
-
continued
68,722
Gran
Tierra
Energy,
Inc.
i
$
15,964
53,378
Halliburton
Company
643,205
177,126
Helmerich
&
Payne,
Inc.
2,594,896
5,208
John
Wood
Group
plc
i
14,299
37,059
Liberty
Oilfield
Services,
Inc.
296,101
191
Lundin
Energy
AB
3,788
210,325
Marathon
Oil
Corporation
860,229
51,723
Marathon
Petroleum
Corporation
1,517,553
157,926
McDermott
International,
Inc.
i
379,022
5,455
Nabors
Industries,
Ltd.
133,320
34,169
NexTier
Oilfield
Solutions,
Inc.
i
63,213
173,413
Nine
Energy
Service,
Inc.
i
195,957
87,317
Oceaneering
International,
Inc.
i
307,356
897
OMV
AG
i
24,543
182,616
Patterson-UTI
Energy,
Inc.
520,456
13,788
PBF
Energy,
Inc.
78,454
6,608
PDC
Energy,
Inc.
i
81,906
30,037
Peabody
Energy
Corporation
69,085
22,287
Pioneer
Natural
Resources
Company
1,916,459
54,529
Plains
GP
Holdings,
LP
332,082
27,710
ProPetro
Holding
Corporation
i
112,503
124,168
QEP
Resources,
Inc.
112,099
51,784
Range
Resources
Corporation
342,810
7,688
Royal
Dutch
Shell
plc,
Class
A
95,972
12,425
Royal
Dutch
Shell
plc,
Class
B
150,679
24,480
RPC,
Inc.
i
64,627
921
SBM
Offshore
NV
14,692
27,467
Schlumberger,
Ltd.
427,387
53,816
SEACOR
Holdings,
Inc.
i
1,564,969
105,473
SM
Energy
Company
167,702
185,136
Southwestern
Energy
Company
i
435,070
967
Subsea
7
SA
i
6,950
56,483
Talos
Energy,
Inc.
i
364,315
50,590
Targa
Resources
Corporation
709,778
1,392
TC
Energy
Corporation
58,438
147,121
TechnipFMC
plc
928,334
3,304
Tenaris
SA
ADR
32,544
4,591
Total
SE
157,668
13,594
Tullow
Oil
plc
i
2,660
22,920
Valero
Energy
Corporation
992,894
326
Washington
H.
Soul
Pattinson
and
Company,
Ltd.
5,537
125
Woodside
Petroleum,
Ltd.
1,586
349,350
WPX
Energy,
Inc.
i
1,711,815
Total
41,635,730
Financials
(2.7%)
829
1st
Source
Corporation
25,566
5,448
AB
Industrivarden
i
144,882
51,943
Aflac,
Inc.
1,888,128
52,346
AG
Mortgage
Investment
Trust,
Inc.
144,475
3,200
AIA
Group,
Ltd.
31,808
60,158
Air
Lease
Corporation
1,769,848
5,032
Alleghany
Corporation
2,618,904
1,876
Allianz
SE
360,062
87,570
Ally
Financial,
Inc.
2,195,380
10,538
American
Equity
Investment
Life
Holding
Company
231,731
130,912
American
Express
Company
13,123,928
108,775
American
Financial
Group,
Inc.
7,285,750
38,878
American
International
Group,
Inc.
1,070,311
7,493
Ameriprise
Financial,
Inc.
1,154,746
46,750
Ameris
Bancorp
1,064,965
7,640
Aon
plc
1,576,132
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
213
Shares
Common
Stock
(27.0%)
Value
Financials
(2.7%)
-
continued
82,909
Apollo
Commercial
Real
Estate
Finance,
Inc.
$
747,010
10,713
Argo
Group
International
Holdings,
Ltd.
368,849
60,093
Arthur
J.
Gallagher
&
Company
6,344,619
17,129
Artisan
Partners
Asset
Management,
Inc.
667,860
144,684
Associated
Banc-Corp
1,825,912
193,279
Assured
Guaranty,
Ltd.
4,151,633
349
ASX,
Ltd.
20,405
1,196
Baloise
Holding
AG
176,080
31,372
Bancorp,
Inc.
i
271,054
184,401
Bank
of
America
Corporation
4,442,220
5,728
Bank
of
Marin
Bancorp
165,883
44,249
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
985,868
39,365
BankFinancial
Corporation
284,215
39,472
Banner
Corporation
1,273,367
12,784
Berkshire
Hathaway,
Inc.
i
2,722,225
155,263
Berkshire
Hills
Bancorp,
Inc.
1,569,709
7,976
BlackRock,
Inc.
4,494,875
17,278
Blackstone
Mortgage
Trust,
Inc.
379,598
241,122
Boston
Private
Financial
Holdings,
Inc.
1,330,993
3,102
Bridge
Bancorp,
Inc.
54,068
112,185
Bridgewater
Bancshares,
Inc.
i
1,064,636
21,154
Brighthouse
Financial,
Inc.
i
569,254
88,310
BrightSphere
Investment
Group
1,139,199
48,171
Brookline
Bancorp,
Inc.
416,438
14,341
Brown
&
Brown,
Inc.
649,217
14,729
Byline
Bancorp,
Inc.
166,143
48,180
Capital
One
Financial
Corporation
3,462,215
326
Cboe
Global
Markets,
Inc.
28,603
38,074
Central
Pacific
Financial
Corporation
516,664
295,131
Charles
Schwab
Corporation
10,692,596
23,784
Chubb,
Ltd.
2,761,798
12,618
CI
Financial
Corporation
160,053
6,661
Cincinnati
Financial
Corporation
519,358
53,410
CIT
Group,
Inc.
945,891
98,208
Citigroup,
Inc.
4,233,747
15,965
Citizens
Financial
Group,
Inc.
403,595
9,553
Cohen
&
Steers,
Inc.
532,484
61,748
Columbia
Banking
System,
Inc.
1,472,690
18,550
Comerica,
Inc.
709,538
687
Commonwealth
Bank
of
Australia
31,613
46,922
Community
Trust
Bancorp,
Inc.
1,326,016
758
Credit
Agricole
SA
i
6,614
8,543
Cullen/Frost
Bankers,
Inc.
546,325
1,715
Customers
Bancorp,
Inc.
i
19,208
11,000
DBS
Group
Holdings,
Ltd.
161,715
746
Deutsche
Boerse
AG
130,790
2,848
Deutsche
Pfandbriefbank
AG
i,j
18,882
1,447
Diamond
Hill
Investment
Group,
Inc.
182,785
51,630
Discover
Financial
Services
2,983,181
10,946
DnB
ASA
i
152,485
14,054
East
West
Bancorp,
Inc.
460,128
18,072
Ellington
Residential
Mortgage
REIT
200,599
7,854
Encore
Capital
Group,
Inc.
i
303,086
17,287
Enterprise
Financial
Services
Corporation
471,417
52,305
Essent
Group,
Ltd.
1,935,808
2,277
Euronext
NV
j
285,233
23,344
Evercore
,
Inc.
1,528,098
452,564
Everi
Holdings,
Inc.
i
3,733,653
Shares
Common
Stock
(27.0%)
Value
Financials
(2.7%)
-
continued
43,882
F.N.B.
Corporation
$
297,520
7,781
FactSet
Research
Systems,
Inc.
2,605,701
12,005
FBL
Financial
Group,
Inc.
578,641
4,878
Federal
Agricultural
Mortgage
Corporation
310,534
38,878
Financial
Institutions,
Inc.
598,721
15,419
First
American
Financial
Corporation
784,981
12,508
First
Bancorp
261,792
103,804
First
BanCorp
541,857
151
First
Bancshares,
Inc.
3,166
72,024
First
Busey
Corporation
1,144,461
3,369
First
Citizens
BancShares
,
Inc.
1,073,970
11,988
First
Commonwealth
Financial
Corporation
92,787
84,090
First
Financial
Bancorp
1,009,500
26,839
First
Financial
Corporation
842,745
63,302
First
Interstate
BancSystem
,
Inc.
2,016,169
6,935
First
Merchants
Corporation
160,615
2,119
First
Mid-Illinois
Bancshares,
Inc.
52,869
56,524
First
Midwest
Bancorp,
Inc.
609,329
6,304
First
of
Long
Island
Corporation
93,362
21,507
First
Republic
Bank
2,345,553
9,778
Flagstar
Bancorp,
Inc.
289,722
11,101
FlexiGroup
,
Ltd.
8,652
4,609
Flushing
Financial
Corporation
48,487
236,159
Fulton
Financial
Corporation
2,203,363
20,649
Glacier
Bancorp,
Inc.
661,800
5,036
Goldman
Sachs
Group,
Inc.
1,012,085
72,561
Granite
Point
Mortgage
Trust,
Inc.
514,458
54,223
Great
Southern
Bancorp,
Inc.
1,963,957
60,228
Great
Western
Bancorp,
Inc.
749,839
118
Groupe
Bruxelles
Lambert
SA
10,638
32,027
Hamilton
Lane,
Inc.
2,068,624
143,964
Hancock
Whitney
Corporation
2,707,963
14,472
Hanmi
Financial
Corporation
118,815
40,371
Hanover
Insurance
Group,
Inc.
3,761,770
48,826
Hartford
Financial
Services
Group,
Inc.
1,799,726
70,963
Heartland
Financial
USA,
Inc.
2,128,535
203,279
Heritage
Commerce
Corporation
1,352,822
45,323
Hometrust
Bancshares,
Inc.
615,486
98,752
Hope
Bancorp,
Inc.
749,034
64,564
Horizon
Bancorp,
Inc.
651,451
14,110
Houlihan
Lokey
,
Inc.
833,196
6,260
HSBC
Holdings
plc
24,491
101
IGM
Financial,
Inc.
2,316
58,304
Independent
Bank
Corporation
732,881
70,643
Interactive
Brokers
Group,
Inc.
3,414,176
6,455
International
Bancshares
Corporation
168,217
42,980
Israel
Discount
Bank,
Ltd.
115,947
80,398
J.P.
Morgan
Chase
&
Company
7,739,915
3,500
Japan
Post
Bank
Company,
Ltd.
27,299
500
Japan
Post
Holdings
Company,
Ltd.
3,410
23,870
Julius
Baer
Group,
Ltd.
1,013,816
52,580
Kemper
Corporation
3,513,921
146,151
KeyCorp
1,743,581
348
L
E
Lundbergforetagen
AB
i
17,194
40,516
Ladder
Capital
Corporation
288,474
21,932
Lakeland
Bancorp,
Inc.
218,223
2,218
Laurentian
Bank
of
Canada
h
45,558
5,191
Lincoln
National
Corporation
162,634
11,622
Loews
Corporation
403,865
2,276
Markel
Corporation
i
2,216,141
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
214
Shares
Common
Stock
(27.0%)
Value
Financials
(2.7%)
-
continued
1,008
MarketAxess
Holdings,
Inc.
$
485,443
7,900
Marsh
&
McLennan
Companies,
Inc.
906,130
933
Mediobanca
SPA
7,311
10,245
Mercantile
Bank
Corporation
184,615
69,534
Meridian
Bancorp,
Inc.
719,677
3,707
Meta
Financial
Group,
Inc.
71,249
45,202
MetLife,
Inc.
1,680,158
14,189
Midland
States
Bancorp,
Inc.
182,329
76,074
MidWestOne
Financial
Group,
Inc.
1,359,442
6,200
Mitsubishi
UFJ
Financial
Group,
Inc.
24,743
985
Mizrahi
Tefahot
Bank,
Ltd.
17,472
2,502
Moody's
Corporation
725,205
72,149
Morgan
Stanley
3,488,404
1,447
Morningstar,
Inc.
232,403
34,028
Mr.
Cooper
Group,
Inc.
i
759,505
400
MS
and
AD
Insurance
Group
Holdings,
Inc.
10,777
13,311
MSCI,
Inc.
4,749,099
1,774
National
Bank
of
Canada
88,117
919
National
Western
Life
Group,
Inc.
167,966
15,129
Northern
Trust
Corporation
1,179,608
25,022
OFG
Bancorp
311,774
12,562
Old
Republic
International
Corporation
185,164
34,704
Old
Second
Bancorp,
Inc.
260,107
429
Onex
Corporation
19,138
4,100
ORIX
Corporation
51,210
49,672
PacWest
Bancorp
848,398
848
Paragon
Banking
Group
plc
3,636
771
Pargesa
Holding
SA
63,739
2,364
Peapack
-Gladstone
Financial
Corporation
35,815
11,255
Peoples
Bancorp,
Inc.
214,858
148,727
Popular,
Inc.
5,394,328
63,830
Premier
Financial
Corporation
994,152
19,158
Primerica,
Inc.
2,167,536
46,677
Prosight
Global,
Inc.
i
529,317
37,037
QCR
Holdings,
Inc.
1,015,184
133,589
Radian
Group,
Inc.
1,951,735
115
Raiffeisen
Bank
International
AG
i
1,760
38,088
Raymond
James
Financial,
Inc.
2,771,283
70,464
Redwood
Trust,
Inc.
529,889
41,261
Reinsurance
Group
of
America,
Inc.
3,927,635
3,130
Royal
Bank
of
Canada
219,762
42,847
S&P
Global,
Inc.
15,450,628
4,916
Safety
Insurance
Group,
Inc.
339,646
55,780
Santander
Consumer
USA
Holdings,
Inc.
1,014,638
120,268
Seacoast
Banking
Corporation
of
Florida
i
2,168,432
69,615
SEI
Investments
Company
3,530,873
15,611
Selective
Insurance
Group,
Inc.
803,810
1,000
Senshu
Ikeda
Holdings,
Inc.
1,669
517
Signature
Bank
42,906
41,528
Simmons
First
National
Corporation
658,426
2,200
Singapore
Exchange,
Ltd.
14,838
5,920
Southside
Bancshares,
Inc.
144,626
641
St.
James's
Place
plc
7,712
52,245
Starwood
Property
Trust,
Inc.
788,377
11,505
State
Auto
Financial
Corporation
158,309
14,642
Sterling
Bancorp
154,034
Shares
Common
Stock
(27.0%)
Value
Financials
(2.7%)
-
continued
2,400
Sumitomo
Mitsui
Financial
Group,
Inc.
$
67,106
5,628
Sun
Life
Financial,
Inc.
229,338
12,906
SVB
Financial
Group
i
3,105,442
488
Swiss
Life
Holding
AG
184,655
218,350
Synovus
Financial
Corporation
4,622,470
30,649
T.
Rowe
Price
Group,
Inc.
3,929,815
4,249
TCF
Financial
Corporation
99,257
15,069
Territorial
Bancorp,
Inc.
304,846
7,169
Texas
Capital
Bancshares,
Inc.
i
223,171
24,537
TMX
Group,
Ltd.
2,523,448
1,100
Tokio
Marine
Holdings,
Inc.
48,130
306
Topdanmark
AS
14,812
737
Torchmark
Corporation
58,886
6,069
Toronto-Dominion
Bank
280,991
9,791
Towne
Bank
160,572
57,272
TPG
RE
Finance
Trust,
Inc.
484,521
27,594
TriCo
Bancshares
675,777
65,381
Triumph
Bancorp,
Inc.
i
2,035,964
57,720
Truist
Financial
Corporation
2,196,246
87,757
TrustCo
Bank
Corporation
458,092
63,274
Two
Harbors
Investment
Corporation
322,065
28,628
United
Bankshares
,
Inc.
614,643
4,567
Univest
Financial
Corporation
65,628
72,211
Valley
National
Bancorp
494,645
5,561
Walker
&
Dunlop,
Inc.
294,733
3,632
Washington
Federal,
Inc.
75,764
20,105
Washington
Trust
Bancorp,
Inc.
616,419
77,886
Webster
Financial
Corporation
2,056,969
150,603
Wells
Fargo
&
Company
3,540,677
16,301
WesBanco
,
Inc.
348,189
131,960
Western
Alliance
Bancorp
4,172,575
110,549
Western
Asset
Mortgage
Capital
Corporation
225,520
2,210
Westwood
Holdings
Group,
Inc.
24,619
68,421
Wintrust
Financial
Corporation
2,740,261
116,814
Zions
Bancorporations
NA
3,413,305
Total
277,936,117
Health
Care
(4.3%)
44,331
Abbott
Laboratories
4,824,543
11,927
AbbVie,
Inc.
1,044,686
4,916
Acadia
Healthcare
Company,
Inc.
i
144,924
172,080
ACADIA
Pharmaceuticals,
Inc.
i
7,098,300
4,013
Acceleron
Pharma,
Inc.
i
451,583
62,159
ADMA
Biologics,
Inc.
i
148,560
27,901
Adverum
Biotechnologies,
Inc.
i
287,380
25,931
Agile
Therapeutics,
Inc.
h,i
78,830
29,707
Agilent
Technologies,
Inc.
2,998,625
58,646
Agios
Pharmaceuticals,
Inc.
i
2,052,610
36,007
Akebia
Therapeutics,
Inc.
i
90,378
14,183
Alexion
Pharmaceuticals,
Inc.
i
1,622,961
9,474
Align
Technology,
Inc.
i
3,101,409
13,359
Alkermes
plc
i
221,359
9,697
AmerisourceBergen
Corporation
939,833
51,830
Amgen,
Inc.
13,173,113
33,324
AMN
Healthcare
Services,
Inc.
i
1,948,121
25,245
AnaptysBio
,
Inc.
i
372,364
14,708
Anavex
Life
Sciences
Corporation
h,i
66,921
10,574
Anthem,
Inc.
2,840,071
13,266
Arena
Pharmaceuticals,
Inc.
i
992,164
18,568
Argenx
SE
ADR
i
4,874,471
7,959
Assembly
Biosciences,
Inc.
i
130,846
2,000
Astellas
Pharmaceutical,
Inc.
29,813
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
215
Shares
Common
Stock
(27.0%)
Value
Health
Care
(4.3%)
-
continued
17,008
Atara
Biotherapeutics
,
Inc.
i
$
220,424
717
Atrion
Corporation
448,842
4,578
AVROBIO,
Inc.
i
59,606
57,736
Axonics
Modulation
Technologies,
Inc.
h,i
2,946,845
3,842
Axsome
Therapeutics,
Inc.
i
273,742
18,073
Baxter
International,
Inc.
1,453,431
11,330
Becton,
Dickinson
and
Company
2,636,264
8,064
Biogen,
Inc.
i
2,287,596
65,122
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
i
4,233,581
4,387
Bio-Rad
Laboratories,
Inc.
i
2,261,323
30,208
Bio-
Techne
Corporation
7,483,428
9,363
Bluebird
Bio,
Inc.
i
505,134
6,279
Bruker
Corporation
249,590
11,402
Cantel
Medical
Corporation
501,004
137,518
Catalent
,
Inc.
i
11,779,792
50,370
Centene
Corporation
i
2,938,082
103,932
Cerner
Corporation
7,513,244
13,771
Charles
River
Laboratories
International,
Inc.
i
3,118,443
5,851
Chemed
Corporation
2,810,528
2,200
Chugai
Pharmaceutical
Company,
Ltd.
98,726
18,042
Cigna
Holding
Company
3,056,495
19,952
Clovis
Oncology,
Inc.
h,i
116,320
39,930
CryoLife
,
Inc.
i
737,507
1,366
CSL,
Ltd.
282,170
32,044
CVS
Health
Corporation
1,871,370
28,096
CytomX
Therapeutics,
Inc.
i
186,838
2,400
Daiichi
Sankyo
Company,
Ltd.
73,675
9,653
Danaher
Corporation
2,078,580
4,261
Deciphera
Pharmaceuticals,
Inc.
i
218,589
17,773
Dexcom
,
Inc.
i
7,326,564
45,443
Dynavax
Technologies
Corporation
h,i
196,314
11,989
Editas
Medicine,
Inc.
i
336,411
165,985
Edwards
Lifesciences
Corporation
i
13,248,923
17,030
Eli
Lilly
and
Company
2,520,781
1,320
Encompass
Health
Corporation
85,774
22,973
Gilead
Sciences,
Inc.
1,451,664
21,281
GlaxoSmithKline
plc
398,967
46,562
GlaxoSmithKline
plc
ADR
1,752,594
20,431
Global
Blood
Therapeutics,
Inc.
i
1,126,565
73
Grifols
SA
2,099
88,492
Guardant
Health,
Inc.
i
9,891,636
17,683
Haemonetics
Corporation
i
1,542,842
115,818
Halozyme
Therapeutics,
Inc.
i
3,043,697
17,420
HCA
Healthcare,
Inc.
2,171,926
5,011
HealthStream
,
Inc.
i
100,571
31,604
Hill-Rom
Holdings,
Inc.
2,639,250
23,345
Humana,
Inc.
9,662,262
199
ICU
Medical,
Inc.
i
36,369
1,244
IDEXX
Laboratories,
Inc.
i
489,029
48,474
ImmunoGen
,
Inc.
i
174,506
4,941
Incyte
Corporation
i
443,405
11,538
Insmed
,
Inc.
i
370,831
33,114
Inspire
Medical
Systems,
Inc.
i
4,273,362
23,978
Insulet
Corporation
i
5,672,955
27,585
Intuitive
Surgical,
Inc.
i
19,572,661
24,840
Invitae
Corporation
h,i
1,076,814
14,635
Iovance
Biotherapeutics
,
Inc.
i
481,784
20,100
IQVIA
Holding,
Inc.
i
3,168,363
19,020
Jazz
Pharmaceuticals,
Inc.
i
2,712,062
99,557
Johnson
&
Johnson
14,822,046
400
KYORIN
Holdings,
Inc.
8,108
Shares
Common
Stock
(27.0%)
Value
Health
Care
(4.3%)
-
continued
6,799
Laboratory
Corporation
of
America
Holdings
i
$
1,280,048
87,483
LHC
Group,
Inc.
i
18,595,386
28
Lifco
AB
2,166
11,133
Ligand
Pharmaceuticals,
Inc.
h,i
1,061,198
144
LNA
Sante
7,996
700
M3,
Inc.
43,299
15,584
MacroGenics
,
Inc.
i
392,561
1,409
Masimo
Corporation
i
332,609
400
Medipal
Holdings
Corporation
8,021
96,181
Medtronic
plc
9,995,130
97,359
Merck
&
Company,
Inc.
8,075,929
10,438
Mersana
Therapeutics,
Inc.
i
194,356
5,523
Mesa
Laboratories,
Inc.
1,407,039
3,205
Mettler
-Toledo
International,
Inc.
i
3,095,229
1,647
Mirati
Therapeutics,
Inc.
i
273,484
13,166
Molina
Healthcare,
Inc.
i
2,409,905
25,739
MyoKardia
,
Inc.
i
3,508,998
14,385
Myovant
Sciences,
Ltd.
i
202,109
70,025
Natera
,
Inc.
i
5,058,606
27,734
National
Healthcare
Corporation
1,728,106
4,422
Nektar
Therapeutics
i
73,361
5,418
Neogen
Corporation
i
423,959
7,303
Neurocrine
Biosciences,
Inc.
i
702,256
56,181
Nevro
Corporation
i
7,826,013
6,994
Novartis
AG
607,249
5,410
Novo
Nordisk
AS
374,830
94,749
Novo
Nordisk
AS
ADR
6,578,423
400
Olympus
Corporation
8,318
195,672
Optinose
,
Inc.
i
763,121
10,837
Orthifix
Medical,
Inc.
i
337,464
5,662
PerkinElmer,
Inc.
710,638
4,107
Pfizer,
Inc.
150,727
50,378
PRA
Health
Sciences,
Inc.
i
5,110,344
6,633
Precision
BioSciences
,
Inc.
i
40,859
9,056
Quest
Diagnostics,
Inc.
1,036,821
6,332
Quidel
Corporation
i
1,389,114
4,284
Reata
Pharmaceuticals,
Inc.
i
417,347
2,685
Recordati
SPA
137,540
20,578
Repligen
Corporation
i
3,036,078
1,475
Replimune
Group,
Inc.
i
33,955
11,943
Retrophin
,
Inc.
i
220,468
1,908
Roche
Holding
AG
653,567
11,978
Sage
Therapeutics,
Inc.
i
732,095
892
Sanofi
89,389
10,853
Sarepta
Therapeutics,
Inc.
i
1,524,087
500
Sawai
Pharmaceutical
Company,
Ltd.
25,228
71,491
Silk
Road
Medical,
Inc.
i
4,804,910
538
Sonova
Holding
AG
i
136,337
35,540
Spectrum
Pharmaceuticals,
Inc.
i
145,003
1,855
STERIS
plc
326,832
57,454
Stryker
Corporation
11,971,690
1,918
Surmodics
,
Inc.
i
74,629
42,129
Syneos
Health,
Inc.
i
2,239,578
108,332
Tactile
Systems
Technology,
Inc.
i
3,963,868
2,200
Takeda
Pharmaceutical
Company,
Ltd.
78,634
126
Tecan
Group
AG
62,662
25,709
Teladoc
Health,
Inc.
h,i
5,636,441
21,457
Teleflex,
Inc.
7,304,392
15,312
Tenet
Healthcare
Corporation
i
375,297
500
Terumo
Corporation
19,907
44,508
Thermo
Fisher
Scientific,
Inc.
19,651,172
15,917
Tilray
,
Inc.
h,i
77,197
200
Tsumura
&
Company
6,233
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
216
Shares
Common
Stock
(27.0%)
Value
Health
Care
(4.3%)
-
continued
5,857
U.S.
Physical
Therapy,
Inc.
$
508,856
3,779
uniQure
B.V.
i
139,181
4,823
United
Therapeutics
Corporation
i
487,123
24,634
UnitedHealth
Group,
Inc.
7,680,142
13,152
Universal
Health
Services,
Inc.
1,407,527
158,903
VBI
Vaccines,
Inc.
h,i
454,463
74,956
Veeva
Systems,
Inc.
i
21,076,878
43,038
Vertex
Pharmaceuticals,
Inc.
i
11,711,501
5,026
Viking
Therapeutics,
Inc.
i
29,251
4,470
Waters
Corporation
i
874,690
1,483
West
Pharmaceutical
Services,
Inc.
407,677
8,251
Zimmer
Biomet
Holdings,
Inc.
1,123,291
129,254
Zoetis,
Inc.
21,374,734
23,296
Zymeworks
,
Inc.
i
1,085,128
Total
438,686,819
Industrials
(3.2%)
5,068
3M
Company
811,792
66,790
A.O.
Smith
Corporation
3,526,512
3
A.P.
Moller
-
Maersk
AS,
Class
A
4,391
36
A.P.
Moller
-
Maersk
AS,
Class
B
56,912
2,164
Aalberts
NV
77,817
1,662
Acuity
Brands,
Inc.
170,106
10,747
AECOM
i
449,654
17,668
Aegion
Corporation
i
249,649
64,492
Aerojet
Rocketdyne
Holdings,
Inc.
i
2,572,586
19,250
AGCO
Corporation
1,429,697
87
Akzo
Nobel
NV
8,793
29,539
Allegion
plc
2,921,702
189,564
Altra
Industrial
Motion
Corporation
7,008,181
17,689
American
Airlines
Group,
Inc.
h
217,398
71,468
AMETEK,
Inc.
7,103,919
120,732
Arconic
,
Inc.
2,018,639
116,642
ASGN,
Inc.
i
7,413,766
5,462
Assa
Abloy
AB
127,702
5,006
Atlas
Copco
AB,
Class
A
238,680
1,524
Atlas
Copco
AB,
Class
B
63,603
6,087
Avis
Budget
Group,
Inc.
i
160,210
68,234
AZZ,
Inc.
2,328,144
8,794
Bloom
Energy
Corporation
h,i
158,028
14,763
Boeing
Company
2,439,733
38,587
BWX
Technologies,
Inc.
2,172,834
937
Canadian
National
Railway
Company
99,790
19,100
Carlisle
Companies,
Inc.
2,337,267
93,115
Carrier
Global
Corporation
2,843,732
99,375
CBIZ,
Inc.
i
2,272,706
44,633
Chart
Industries,
Inc.
i
3,136,361
987
CIA
De
Distribucion
Integral
16,848
6,178
Cintas
Corporation
2,056,224
29,980
Copart
,
Inc.
i
3,152,697
12,514
CRA
International,
Inc.
468,900
68,800
Crane
Company
3,448,944
42,071
CSW
Industrials,
Inc.
3,249,985
21,846
CSX
Corporation
1,696,779
78,322
Curtiss-Wright
Corporation
7,304,310
100
Daikin
Industries,
Ltd.
18,477
61,919
Delta
Air
Lines,
Inc.
1,893,483
577
Deutsche
Post
AG
26,182
11,577
Douglas
Dynamics,
Inc.
395,933
11,708
Eaton
Corporation
plc
1,194,567
55,373
EMCOR
Group,
Inc.
3,749,306
57,395
Emerson
Electric
Company
3,763,390
13,933
Encore
Wire
Corporation
646,770
Shares
Common
Stock
(27.0%)
Value
Industrials
(3.2%)
-
continued
20,991
Expeditors
International
of
Washington,
Inc.
$
1,900,105
3,211
Experian
plc
120,652
369
Exponent,
Inc.
26,579
52,571
Fluor
Corporation
463,151
49,867
Forrester
Research,
Inc.
i
1,635,139
61,449
Forward
Air
Corporation
3,525,944
46,966
FuelCell
Energy,
Inc.
h,i
100,507
259
Geberit
AG
153,231
15,556
Generac
Holdings,
Inc.
i
3,012,264
43,429
General
Dynamics
Corporation
6,011,876
22,470
Gorman-Rupp
Company
661,966
600
GS
Yuasa
Corporation
10,368
12,383
GWA
Group,
Ltd.
24,776
800
Hanwa
Company,
Ltd.
16,014
16,079
Heico
Corporation
1,682,828
36,462
Helios
Technologies,
Inc.
1,327,217
91,002
Honeywell
International,
Inc.
14,979,839
29,277
Hubbell,
Inc.
4,006,265
10,205
ICF
International,
Inc.
627,914
60,556
IDEX
Corporation
11,046,020
13,761
Illinois
Tool
Works,
Inc.
2,658,763
2,900
Inaba
Denki
Sangyo
Company,
Ltd.
72,841
6,115
JB
Hunt
Transport
Services,
Inc.
772,814
516
Jet2
plc
4,467
89,640
Johnson
Controls
International
plc
3,661,794
1,800
Kamigumi
Company,
Ltd.
35,470
12,720
Kansas
City
Southern
2,300,158
3,300
Kinden
Corporation
58,282
2,937
Koninklijke
Philips
NV
i
138,683
32
Kuehne
&
Nagel
International
AG
6,214
3,256
L3Harris
Technologies,
Inc.
552,999
39,414
Landstar
System,
Inc.
4,946,063
4,103
Legrand
SA
327,986
19,644
Lennox
International,
Inc.
5,355,151
106,412
Lincoln
Electric
Holdings,
Inc.
9,794,160
15,318
Linde
Public
Limited
Company
3,647,675
31,766
Lockheed
Martin
Corporation
12,175,272
47,864
Manpower,
Inc.
3,509,867
11,700
Marubeni
Corporation
66,426
7,124
Masonite
International
Corporation
i
701,002
54,356
Mercury
Systems,
Inc.
i
4,210,416
280,271
Meritor,
Inc.
i
5,868,875
64,604
Middleby
Corporation
i
5,795,625
7,200
Mitsubishi
Corporation
172,335
5,300
Mitsubishi
Electric
Corporation
71,917
1,200
Mitsuboshi
Belting,
Ltd.
19,528
10,500
Mitsui
&
Company,
Ltd.
180,420
15,244
MSC
Industrial
Direct
Company,
Inc.
964,640
21,211
NAPCO
Security
Technologies,
Inc.
i
498,459
2,660
National
Express
Group
plc
i
5,228
100
Nikkon
Holdings
Company,
Ltd.
2,168
100
Nishimatsu
Construction
Company,
Ltd.
1,986
4,300
Nitto
Kogyo
Corporation
85,446
2,052
Nobina
AB
i,j
13,489
15,544
Nordson
Corporation
2,981,650
38,306
Norfolk
Southern
Corporation
8,197,101
43,214
Nutrien
,
Ltd.
1,695,285
40,565
Old
Dominion
Freight
Line,
Inc.
7,339,020
21,212
Otis
Worldwide
Corporation
1,324,053
6,392
PageGroup
plc
i
30,814
27,504
Parker-Hannifin
Corporation
5,565,159
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
217
Shares
Common
Stock
(27.0%)
Value
Industrials
(3.2%)
-
continued
25,774
Quad/Graphics,
Inc.
$
78,095
84,035
Raven
Industries,
Inc.
1,808,433
42,415
Raytheon
Technologies
Corporation
2,440,559
800
Recruit
Holdings
Company,
Ltd.
31,772
1,501
Redde
Northgate
plc
3,573
32,725
Regal-Beloit
Corporation
3,071,896
12,728
RELX
plc
283,302
2,526
Republic
Services,
Inc.
235,802
106,598
Ritchie
Brothers
Auctioneers,
Inc.
6,315,932
21,161
Rockwell
Automation,
Inc.
4,669,809
11,981
Roper
Industries,
Inc.
4,733,813
8,302
Ryder
System,
Inc.
350,676
37,484
Saia,
Inc.
i
4,728,232
665
Sandvik
AB
i
13,004
100
Sanwa
Holdings
Corporation
1,060
2,882
Schneider
Electric
SE
358,232
3,310
SEEK,
Ltd.
51,062
2,037
Signify
NV
i,j
75,343
12,272
Simpson
Manufacturing
Company,
Inc.
1,192,348
15,281
SiteOne
Landscape
Supply,
Inc.
i
1,863,518
1,464
SKF
AB
30,203
8,653
Snap-On,
Inc.
1,273,116
38,700
Sojitz
Corporation
87,827
169,004
Southwest
Airlines
Company
6,337,650
2,682
SP
Plus
Corporation
i
48,142
677
Spirax-Sarco
Engineering
plc
96,406
4,435
Spirit
Aerosystems
Holdings,
Inc.
83,866
6,713
Spirit
Airlines,
Inc.
h,i
108,079
7,001
SPX
FLOW,
Inc.
i
299,783
61,810
Standex
International
Corporation
3,659,152
80
Stantec
,
Inc.
2,429
8,700
Sumitomo
Corporation
104,874
128,930
Summit
Materials,
Inc.
i
2,132,502
300
Taikisha,
Ltd.
8,321
100
Taisei
Corporation
3,385
9,292
Teledyne
Technologies,
Inc.
i
2,882,471
689
TFI
International,
Inc.
28,811
11,764
Thermon
Group
Holdings,
Inc.
i
132,110
36,984
Timken
Company
2,005,272
1,100
Toppan
Forms
Company,
Ltd.
10,472
34,034
Toro
Company
2,857,154
1,127
Transcontinental,
Inc.
13,915
3,246
Transurban
Group
33,145
76,504
Trex
Company,
Inc.
i
5,477,686
95,982
TriMas
Corporation
i
2,188,390
1,100
Tsubakimoto
Chain
Company
25,878
9,753
UniFirst
Corporation
1,846,926
19,124
Union
Pacific
Corporation
3,764,942
24,533
United
Airlines
Holdings,
Inc.
i
852,522
633
United
Parcel
Service,
Inc.
105,477
71,009
United
Rentals,
Inc.
i
12,391,071
39,289
Valmont
Industries,
Inc.
4,878,908
23,811
Verisk
Analytics,
Inc.
4,412,416
13,528
Waste
Connections,
Inc.
1,404,206
13,285
Watsco
,
Inc.
3,093,944
101,034
Willdan
Group,
Inc.
i
2,577,377
14,184
XPO
Logistics,
Inc.
i
1,200,817
700
Yuasa
Trading
Company,
Ltd.
21,875
Total
333,433,436
Information
Technology
(7.5%)
27,254
Accenture
plc
6,159,131
55,704
Adobe,
Inc.
i
27,318,913
17,151
ADTRAN,
Inc.
175,884
Shares
Common
Stock
(27.0%)
Value
Information
Technology
(7.5%)
-
continued
15,903
Advanced
Energy
Industries,
Inc.
i
$
1,000,935
34,685
Advanced
Micro
Devices,
Inc.
i
2,843,823
300
Advantest
Corporation
14,592
64,230
Agilysys
,
Inc.
i
1,551,797
25,769
Akamai
Technologies,
Inc.
i
2,848,505
52,500
Alliance
Data
Systems
Corporation
2,203,950
5,643
American
Software,
Inc.
79,228
101,236
Amphenol
Corporation
10,960,822
4,028
Analog
Devices,
Inc.
470,229
99,709
Anaplan,
Inc.
i
6,239,789
15,326
ANSYS,
Inc.
i
5,015,127
942,578
Apple,
Inc.
109,159,958
94
ASM
International
NV
13,474
835
ASML
Holding
NV
308,428
9,390
Aspen
Technology,
Inc.
i
1,188,680
20,132
Atlassian
Corporation
plc
i
3,659,796
5,213
Automatic
Data
Processing,
Inc.
727,161
38,266
Avalara,
Inc.
i
4,872,792
17,867
Avnet,
Inc.
461,683
28,128
Bandwidth,
Inc.
i
4,910,305
662
BE
Semiconductor
Industries
NV
28,381
50,843
Benchmark
Electronics,
Inc.
1,024,486
53,317
Blackline,
Inc.
i
4,778,803
189
Broadcom,
Ltd.
68,856
15,672
Broadridge
Financial
Solutions,
Inc.
2,068,704
4,414
CACI
International,
Inc.
i
940,888
2,530
Cadence
Design
Systems,
Inc.
i
269,774
1,600
Canon,
Inc.
26,538
233
Capgemini
SA
29,893
67,163
CDK
Global,
Inc.
2,927,635
79,768
CDW
Corporation
9,534,669
3,350
Ceridian
HCM
Holding,
Inc.
i
276,877
4,067
CGI,
Inc.
i
276,051
117,835
Change
Healthcare,
Inc.
i
1,709,786
60,771
Ciena
Corporation
i
2,412,001
220,158
Cisco
Systems,
Inc.
8,672,024
28,320
Cognex
Corporation
1,843,632
200
Computer
Engineering
&
Consulting,
Ltd.
3,103
33,703
Computer
Services,
Inc.
2,089,586
6,261
Computershare,
Ltd.
55,389
30,620
Coupa
Software,
Inc.
i
8,397,229
16,870
Cree,
Inc.
i
1,075,294
29,537
CTS
Corporation
650,700
44,782
Descartes
Systems
Group,
Inc.
i
2,551,678
348
Dialog
Semiconductor
plc
i
15,168
36,491
DocuSign,
Inc.
i
7,854,323
128,646
Dolby
Laboratories,
Inc.
8,526,657
6,837
Domo,
Inc.
i
262,062
73,973
Dropbox,
Inc.
i
1,424,720
9,764
DSP
Group,
Inc.
i
128,690
300
DTS
Corporation
6,384
80,446
Elastic
NV
i
8,679,319
38,832
Endava
plc
ADR
i
2,452,241
6,725
EPAM
Systems,
Inc.
i
2,174,058
17,632
ePlus
,
Inc.
i
1,290,662
60,311
Euronet
Worldwide,
Inc.
i
5,494,332
101,282
Eventbrite,
Inc.
h,i
1,098,910
29,738
ExlService
Holdings,
Inc.
i
1,961,816
7,153
eXp
World
Holdings,
Inc.
i
288,552
9,454
F5
Networks,
Inc.
i
1,160,668
7,200
Fair
Isaac
Corporation
i
3,062,736
39,187
Five9,
Inc.
i
5,081,770
4,173
FLIR
Systems,
Inc.
149,602
1,500
Fuji
Soft,
Inc.
77,349
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
218
Shares
Common
Stock
(27.0%)
Value
Information
Technology
(7.5%)
-
continued
4,786
Gartner,
Inc.
i
$
598,011
40,286
Global
Payments,
Inc.
7,153,988
36,328
Guidewire
Software,
Inc.
i
3,787,921
10,380
Halma
plc
313,601
47,268
Health
Catalyst,
Inc.
h,i
1,730,009
800
Hitachi,
Ltd.
27,088
600
Hoya
Corporation
67,750
14,851
II-VI,
Inc.
i
602,357
21,448
Inphi
Corporation
i
2,407,538
8,774
Intel
Corporation
454,318
7,464
InterDigital
,
Inc.
425,896
1,818
International
Business
Machines
Corporation
221,196
10,817
Intuit,
Inc.
3,528,614
300
ITOCHU
Techno-Solutions
Corporation
11,381
7,053
Jack
Henry
&
Associates,
Inc.
1,146,747
300
Japan
Material
Company,
Ltd.
4,206
39,981
Juniper
Networks,
Inc.
859,591
300
Keyence
Corporation
140,244
188
KLA-Tencor
Corporation
36,423
18,530
Lam
Research
Corporation
6,147,327
200
Lasertec
Corporation
16,440
121,427
Lattice
Semiconductor
Corporation
i
3,516,526
11,417
Littelfuse
,
Inc.
2,024,691
69,679
Lumentum
Holdings,
Inc.
i
5,234,983
7,335
Manhattan
Associates,
Inc.
i
700,419
13,029
ManTech
International
Corporation
897,438
133,746
MasterCard,
Inc.
45,228,885
8,350
MaxLinear
,
Inc.
i
194,054
118,186
Medallia
,
Inc.
h,i
3,240,660
2,241
Methode
Electronics,
Inc.
63,868
1,240
Microchip
Technology,
Inc.
127,422
488,759
Microsoft
Corporation
102,800,680
14,395
MicroStrategy
,
Inc.
i
2,167,311
58,403
MKS
Instruments,
Inc.
6,379,360
57,015
Monolithic
Power
Systems,
Inc.
15,941,964
5,420
Motorola
Solutions,
Inc.
849,910
36,683
MTS
Systems
Corporation
701,012
200
Murata
Manufacturing
Company,
Ltd.
13,005
53,662
National
Instruments
Corporation
1,915,733
4,700
NEC
Networks
&
System
Integration
Corporation
90,345
914
NetApp,
Inc.
40,070
25,074
Nice,
Ltd.
ADR
h,i
5,692,550
29,208
Nova
Measuring
Instruments,
Ltd.
i
1,522,905
15,425
Novanta
,
Inc.
i
1,624,869
200
NS
Solutions
Corporation
6,163
400
NSD
Company,
Ltd.
7,857
100
NTT
Data
Corporation
1,280
171,491
Nuance
Communications,
Inc.
i
5,691,786
63,170
NVIDIA
Corporation
34,188,867
100
OBIC
Company,
Ltd.
17,586
91,605
Oracle
Corporation
5,468,819
300
Oracle
Corporation
Japan
32,393
200
Otsuka
Corporation
10,220
20,832
Palo
Alto
Networks,
Inc.
i
5,098,632
11,380
Paychex,
Inc.
907,783
223
Paylocity
Holding
Corporation
i
35,997
126,198
PayPal
Holdings,
Inc.
i
24,864,792
19,364
Plexus
Corporation
i
1,367,679
12,432
Progress
Software
Corporation
456,006
15,754
Proofpoint
,
Inc.
i
1,662,835
30,035
Q2
Holdings,
Inc.
i
2,740,994
Shares
Common
Stock
(27.0%)
Value
Information
Technology
(7.5%)
-
continued
17,123
QAD,
Inc.
$
722,591
13,188
Qorvo
,
Inc.
i
1,701,384
27,703
QUALCOMM,
Inc.
3,260,089
3,573
Qualys
,
Inc.
i
350,190
15,580
Rogers
Corporation
i
1,527,775
700
Ryoyo
Electro
Corporation
h
19,445
659
Sage
Group
plc
6,124
81,435
SailPoint
Technologies
Holdings,
Inc.
i
3,222,383
34,329
Salesforce.com,
Inc.
i
8,627,564
2,501
Samsung
Electronics
Company,
Ltd.
GDR
3,171,078
221
SAP
SE
34,414
25,219
ScanSource
,
Inc.
i
500,093
9,446
Semtech
Corporation
i
500,260
62,083
ServiceNow
,
Inc.
i
30,110,255
11,355
Silicon
Laboratories,
Inc.
i
1,111,087
834
Skyworks
Solutions,
Inc.
121,347
1,477
Solaredge
Technology,
Ltd.
i
352,043
114,303
Square,
Inc.
i
18,579,953
153,849
STMicroelectronics
NV
ADR
h
4,721,626
38,283
Synopsys,
Inc.
i
8,191,796
12,486
TE
Connectivity,
Ltd.
1,220,382
424
Technology
One,
Ltd.
2,429
71,431
Texas
Instruments,
Inc.
10,199,632
800
TIS,
Inc.
16,992
400
Tokyo
Electron,
Ltd.
104,502
528
Tyler
Technologies,
Inc.
i
184,040
14,073
VeriSign,
Inc.
i
2,882,854
236,754
Visa,
Inc.
47,343,697
7,869
VMware,
Inc.
h,i
1,130,539
17,323
WEX,
Inc.
i
2,407,377
61,055
Workiva
,
Inc.
i
3,404,427
45
Worldline
SA
i,j
3,685
4,880
Zendesk
,
Inc.
i
502,250
30,421
Zscaler
,
Inc.
i
4,279,930
Total
768,810,226
Materials
(0.8%)
9,909
AdvanSix
,
Inc.
i
127,628
1,299
Air
Liquide
SA
205,905
2,511
Air
Products
and
Chemicals,
Inc.
747,926
3,500
Air
Water,
Inc.
47,336
24,224
AptarGroup,
Inc.
2,742,157
11,756
Avery
Dennison
Corporation
1,502,887
69,493
Axalta
Coating
Systems,
Ltd.
i
1,540,660
1,473
Balchem
Corporation
143,809
30,143
Ball
Corporation
2,505,486
2,662
BHP
Group,
Ltd.
68,769
466
Buzzi
Unicem
SPA
10,827
14,910
Cabot
Corporation
537,207
4,508
Carpenter
Technology
Corporation
81,865
4,943
Celanese
Corporation
531,125
1,528
Centamin
plc
3,989
67,735
CF
Industries
Holdings,
Inc.
2,080,142
51,478
Chemours
Company
1,076,405
37
Christian
Hansen
Holding
AS
4,107
1,233
Croda
International
plc
99,461
92,481
Eastman
Chemical
Company
7,224,616
66,728
Ecolab,
Inc.
13,334,923
143,735
Element
Solutions,
Inc.
i
1,510,655
51
EMS-CHEMIE
Holding
AG
45,822
122
Eramet
SA
i
3,079
90,800
Ferroglobe
Representation
&
Warranty
Insurance
Trust
c,i
9
4,066
FMC
Corporation
430,630
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
219
Shares
Common
Stock
(27.0%)
Value
Materials
(0.8%)
-
continued
21
Givaudan
SA
$
90,674
4,038
Granges
AB
i
36,042
6,103
Hexpol
AB
i
54,592
4,769
Hochschild
Mining
plc
i
13,448
551
Holmen
AB
20,445
86
IAMGOLD
Corporation
i
329
172
IMCD
NV
20,457
11,930
Ingevity
Corporation
i
589,819
35,374
Innospec
,
Inc.
2,239,882
318,756
Ivanhoe
Mines,
Ltd.
i
1,158,634
42,751
Kaiser
Aluminum
Corporation
2,291,026
2,210
Koninklijke
DSM
NV
363,838
4,376
Kraton
Performance
Polymers,
Inc.
i
77,980
3,200
Kyoei
Steel,
Ltd.
41,132
400
Lintec
Corporation
9,314
175,007
Louisiana-Pacific
Corporation
5,164,457
29,377
Martin
Marietta
Materials,
Inc.
6,914,171
23,832
Materion
Corporation
1,239,979
20,363
Minerals
Technologies,
Inc.
1,040,549
65,282
Myers
Industries,
Inc.
863,681
33,278
Neenah,
Inc.
1,246,927
260
Novozymes
AS
16,342
44,131
Nucor
Corporation
1,979,717
9,566
Olympic
Steel,
Inc.
108,670
12,347
PPG
Industries,
Inc.
1,507,322
24,805
Quaker
Chemical
Corporation
4,457,707
2,151
Ramelius
Resources,
Ltd.
3,249
5,371
Reliance
Steel
&
Aluminum
Company
548,057
972
Rio
Tinto
plc
58,488
1,055
Rio
Tinto,
Ltd.
72,058
8,474
RPM
International,
Inc.
701,986
38,651
Ryerson
Holding
Corporation
i
221,470
8,027
Sandfire
Resources,
Ltd.
23,722
7,246
Scotts
Miracle-
Gro
Company
1,107,986
15,352
Sensient
Technologies
Corporation
886,424
4,269
Sherwin-Williams
Company
2,974,383
100
Shin-Etsu
Chemical
Company,
Ltd.
13,085
643
Sika
AG
157,890
2,776
Silver
Lake
Resources,
Ltd.
i
4,660
63,079
Steel
Dynamics,
Inc.
1,805,952
8,900
Sumitomo
Chemical
Company,
Ltd.
29,459
1,064
Symrise
AG
146,963
500
Taiyo
Holdings
Company,
Ltd.
26,182
2,300
Toagosei
Company,
Ltd.
24,649
16,200
Toray
Industries,
Inc.
74,115
1,600
Ube
Industries,
Ltd.
27,020
25,442
UFP
Technologies,
Inc.
i
1,053,808
18,943
United
States
Lime
&
Minerals,
Inc.
1,706,764
17,766
United
States
Steel
Corporation
130,402
37,476
W.
R.
Grace
&
Company
1,509,908
148
Wacker
Chemie
AG
14,363
4,228
Worthington
Industries,
Inc.
172,418
1,306
Yara
International
ASA
50,255
Total
81,700,275
Real
Estate
(1.3%)
114,999
Agree
Realty
Corporation
7,318,536
8,402
Alexandria
Real
Estate
Equities,
Inc.
1,344,320
2,047
Allied
Properties
REIT
55,112
2,782
Alstria
Office
REIT
AG
38,685
99,234
American
Campus
Communities,
Inc.
3,465,251
Shares
Common
Stock
(27.0%)
Value
Real
Estate
(1.3%)
-
continued
49,274
American
Tower
Corporation
$
11,911,004
40,039
Apartment
Investment
&
Management
Company
1,350,115
36,293
Armada
Hoffler
Properties,
Inc.
336,073
39,464
Ascendas
REIT
94,435
10,196
Ashford
Hospitality
Trust,
Inc.
16,823
9,218
AvalonBay
Communities,
Inc.
1,376,616
1,456
BBX
Capital
Corporation
19,496
758
Bluerock
Residential
Growth
REIT,
Inc.
5,746
63,378
Camden
Property
Trust
5,639,374
31,563
CareTrust
REIT,
Inc.
561,664
2,486
Castellum
AB
56,468
131,036
CBL
&
Associates
Properties,
Inc.
i
21,110
120,151
CBRE
Group,
Inc.
i
5,643,492
117,661
Cedar
Realty
Trust,
Inc.
95,305
2,219
Choice
Properties
REIT
21,298
76
Cofinimmo
SA
11,428
24,605
Colliers
International
Group,
Inc.
1,640,907
23,207
Colony
Credit
Real
Estate,
Inc.
113,946
10,872
Columbia
Property
Trust,
Inc.
118,614
17,322
Community
Healthcare
Trust,
Inc.
809,977
18,533
Corepoint
Lodging,
Inc.
101,005
8,276
CoreSite
Realty
Corporation
983,851
9,287
CoStar
Group,
Inc.
i
7,880,112
116,389
Cushman
and
Wakefield
plc
i
1,223,248
162
CyrusOne
,
Inc.
11,345
1,000
Daito
Trust
Construction
Company,
Ltd.
88,645
9,443
Digital
Realty
Trust,
Inc.
1,385,855
21,960
Diversified
Healthcare
Trust
77,299
43,611
Douglas
Emmett,
Inc.
1,094,636
42,685
Duke
Realty
Corporation
1,575,077
16,152
EastGroup
Properties,
Inc.
2,088,938
799
Entra
ASA
h,j
11,228
18,669
EPR
Properties
513,398
19,429
Equity
Lifestyle
Properties,
Inc.
1,190,998
159,189
Essential
Properties
Realty
Trust,
Inc.
2,916,342
6,953
Essex
Property
Trust,
Inc.
1,396,093
24,520
Farmland
Partners,
Inc.
163,303
140,290
First
Industrial
Realty
Trust,
Inc.
5,583,542
22,054
FirstService
Corporation
2,908,702
107,971
Four
Corners
Property
Trust,
Inc.
2,762,978
1
Frontier
Real
Estate
Investment
Corporation
3,406
1
Fukuoka
REIT
Corporation
1,299
35,563
Gaming
and
Leisure
Properties,
Inc.
1,313,342
30,790
Getty
Realty
Corporation
800,848
15,327
Gladstone
Commercial
Corporation
258,260
2,058
Gladstone
Land
Corporation
30,911
13,890
Global
Medical
REIT,
Inc.
187,515
2,965
Granite
REIT
172,082
1
Hankyu
REIT,
Inc.
1,164
57,515
Healthcare
Realty
Trust,
Inc.
1,732,352
197,138
Host
Hotels
&
Resorts,
Inc.
2,127,119
4,000
Hysan
Development
Company,
Ltd.
12,030
46,763
Industrial
Logistics
Properties
Trust
1,022,707
9,171
Innovative
Industrial
Properties,
Inc.
1,138,213
18
Invesco
Office
J-
Reit
,
Inc.
2,494
9,806
Investors
Real
Estate
Trust
639,057
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
220
Shares
Common
Stock
(27.0%)
Value
Real
Estate
(1.3%)
-
continued
8
Japan
Hotel
REIT
Investment
Corporation
$
3,953
2
Japan
Prime
Realty
Investment
Corporation
6,205
9,087
Jones
Lang
LaSalle,
Inc.
869,262
102,211
Kilroy
Realty
Corporation
5,310,884
552
Kungsleden
AB
5,225
6,027
Lamar
Advertising
Company
398,807
103
LEG
Immobilien
AG
14,682
33,620
Lexington
Realty
Trust
351,329
10,300
Mapletree
Commercial
Trust
14,797
162,900
Medical
Properties
Trust,
Inc.
2,871,927
6,655
MGM
Growth
Properties
LLC
186,207
6
Mori
Trust
Sogo
REIT,
Inc.
7,589
4,993
National
Health
Investors,
Inc.
300,928
60,144
National
Retail
Properties,
Inc.
2,075,569
202,255
National
Storage
Affiliates
Trust
6,615,761
113,925
New
Residential
Investment
Corporation
905,704
36,491
New
Senior
Investment
Group,
Inc.
145,964
32,283
NexPoint
Residential
Trust,
Inc.
1,431,751
6
Nomura
Real
Estate
Master
Fund,
Inc.
7,517
18,132
Omega
Healthcare
Investors,
Inc.
542,872
16,058
One
Liberty
Properties,
Inc.
262,709
20,036
Physicians
Realty
Trust
358,845
6,218
Plymouth
Industrial
REIT,
Inc.
76,730
15,101
PotlatchDeltic
Corporation
635,752
38,381
Preferred
Apartment
Communities,
Inc.
207,257
1,744
PSP
Swiss
Property
AG
210,677
4,266
Quebecor,
Inc.
106,718
28,304
Rayonier,
Inc.
REIT
748,358
39,609
Realty
Income
Corporation
2,406,247
3,892
Retail
Properties
of
America,
Inc.
22,613
44,544
Rexford
Industrial
Realty,
Inc.
2,038,333
3,178
RMR
Group,
Inc.
87,300
7,000
Road
King
Infrastructure,
Ltd.
8,365
88,353
Sabra
Health
Care
REIT,
Inc.
1,217,946
12,837
SBA
Communications
Corporation
4,088,328
188,918
Service
Properties
Trust
1,501,898
52,439
Spirit
Realty
Capital,
Inc.
1,769,816
40,109
STAG
Industrial,
Inc.
1,222,923
50,032
Store
Capital
Corporation
1,372,378
190,659
Sunstone
Hotel
Investors,
Inc.
1,513,832
6,539
TAG
Immobilien
AG
197,177
12,065
Terreno
Realty
Corporation
660,679
19,169
UDR,
Inc.
625,101
20,065
UMH
Properties,
Inc.
271,680
6
United
Urban
Investment
Corporation
6,677
63,939
Uniti
Group,
Inc.
673,597
877
Universal
Health
Realty
Income
Trust
49,980
1,308
Waypoint
REIT,
Ltd.
2,556
16,800
Wing
Tai
Holdings,
Ltd.
21,471
19,626
WP
Carey,
Inc.
1,278,830
Total
131,176,895
Utilities
(0.2%)
4,378
ALLETE,
Inc.
226,518
25,274
Alliant
Energy
Corporation
1,305,402
23,340
Artesian
Resources
Corporation
804,530
12,830
Black
Hills
Corporation
686,277
69,847
CenterPoint
Energy,
Inc.
1,351,539
2,989
Chesapeake
Utilities
Corporation
251,973
Shares
Common
Stock
(27.0%)
Value
Utilities
(0.2%)
-
continued
21,158
CMS
Energy
Corporation
$
1,299,313
21,383
Consolidated
Water
Company,
Ltd.
222,597
5,245
DTE
Energy
Company
603,385
28,140
Duke
Energy
Corporation
2,492,078
3,975
Enagas
SA
91,716
1,726
Enel
SPA
14,975
35,072
Entergy
Corporation
3,455,644
3,949
Essential
Utilities,
Inc.
158,947
35,980
Exelon
Corporation
1,286,645
36,400
FirstEnergy
Corporation
1,045,044
9,771
Hawaiian
Electric
Industries,
Inc.
324,788
14,955
IDACORP,
Inc.
1,194,904
3,584
Middlesex
Water
Company
222,746
4,010
National
Fuel
Gas
Company
162,766
22,394
New
Jersey
Resources
Corporation
605,086
3,717
NextEra
Energy,
Inc.
1,031,691
272
Northland
Power,
Inc.
8,228
2,255
Northwest
Natural
Holding
Company
102,354
13,876
NorthWestern
Corporation
674,929
16,364
OGE
Energy
Corporation
490,756
12,298
Otter
Tail
Corporation
444,819
22,984
PNM
Resources,
Inc.
949,929
18,155
Portland
General
Electric
Company
644,502
3,572
South
Jersey
Industries,
Inc.
68,832
6,673
Southwest
Gas
Holdings,
Inc.
421,066
16,684
Spire,
Inc.
887,589
23,392
UGI
Corporation
771,468
10,826
Unitil
Corporation
418,317
Total
24,721,353
Total
Common
Stock
(cost
$1,951,344,023)
2,781,327,060
Shares
Collateral
Held
for
Securities
Loaned
(
0.8%
)
Value
81,046,765
Thrivent
Cash
Management
Trust
81,046,765
Total
Collateral
Held
for
Securities
Loaned
(cost
$81,046,765)
81,046,765
Shares
or
Principal
Amount
Short-Term
Investments
(
10.8%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
200,000
0.060%,
10/7/2020
o,p
199,998
24,800,000
0.071%,
10/14/2020
o,p
24,799,463
7,800,000
0.080%,
10/28/2020
o,p
7,799,649
8,300,000
0.085%,
11/4/2020
o,p
8,299,451
12,300,000
0.090%,
11/6/2020
o,p
12,299,139
900,000
0.060%,
11/10/2020
o,p
899,930
700,000
0.080%,
11/12/2020
o,p
699,943
4,300,000
0.070%,
11/18/2020
o,p
4,299,599
11,400,000
0.070%,
11/19/2020
o,p
11,398,914
7,300,000
0.055%,
11/24/2020
o,p
7,299,233
32,800,000
0.055%,
12/8/2020
o,p
32,794,424
200,000
0.055%,
12/10/2020
o,p
199,965
16,100,000
0.075%,
12/22/2020
o,p
16,096,699
700,000
0.092%,
12/28/2020
o,p
699,846
Thrivent
Core
Short-Term
Reserve
Fund
98,310,006
0.310%
983,100,062
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
221
Shares
or
Principal
Amount
Short-Term
Investments
(10.8%)
Value
U.S.
Treasury
Bills
1,600,000
0.093%,
11/19/2020
o,q
$
1,599,804
200,000
0.085%,
12/3/2020
o,q
199,965
1,800,000
0.081%,
12/10/2020
n,o,r
1,799,650
Total
Short-Term
Investments
(cost
$1,114,819,053)
1,114,485,734
Total
Investments
(cost
$9,708,648,143)
107.6%
$11,081,790,957
Other
Assets
and
Liabilities,
Net
(7.6%)
(778,021,185)
Total
Net
Assets
100.0%
$10,303,769,772
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
f
In
bankruptcy. Interest
is
not
being
accrued.
g
In
bankruptcy. Interest
is
being
accrued
per
the
bankruptcy
agreement
terms.
h
All
or
a
portion
of
the
security
is
on
loan.
i
Non-income
producing
security.
j
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$390,266,846
or
3.8%
of
total
net
assets.
k
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
30,
2020.
l
Denotes
interest
only
security. Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets. The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
m
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
n
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
o
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
p
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
q
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
r
At
September
30,
2020,
$861,832
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Moderate
Allocation
Portfolio
as
of
September
30,
2020
was
$468,000
or
0.0%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
222
Security
Acquisition
Date
Cost
Windstream
Services,
LLC,
10/31/2025
1/14/2020
$
765,930
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Moderate
Allocation
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
4,248,298
Common
Stock
75,379,941
Total
lending
$79,628,239
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$81,046,765
Net
amounts
due
to
counterparty
$1,418,526
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
FNMA
-
Federal
National
Mortgage
Association
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
1W
-
ICE
Libor
USD
Rate
1
Week
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
223
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Moderate
Allocation
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
7,226,127
–
6,408,536
817,591
Capital
Goods
13,663,780
–
13,663,780
–
Communications
Services
35,713,670
–
33,872,582
1,841,088
Consumer
Cyclical
25,243,867
–
24,156,742
1,087,125
Consumer
Non-Cyclical
30,468,176
–
30,468,176
–
Energy
4,384,714
–
4,384,714
–
Financials
12,586,387
–
12,586,387
–
Technology
14,797,764
–
14,797,764
–
Transportation
4,880,201
–
4,880,201
–
Utilities
4,544,456
–
4,544,456
–
Registered
Investment
Companies
Unaffiliated
61,016,735
61,016,735
–
–
Affiliated
3,191,123,305
3,191,123,305
–
–
Long-Term
Fixed
Income
Asset-Backed
Securities
129,772,017
–
129,772,017
–
Basic
Materials
29,822,865
–
29,822,865
–
Capital
Goods
42,991,017
–
42,991,017
–
Collateralized
Mortgage
Obligations
110,097,486
–
107,697,486
2,400,000
Commercial
Mortgage-Backed
Securities
23,307,736
–
23,307,736
–
Communications
Services
96,399,755
–
96,399,755
–
Consumer
Cyclical
71,001,500
–
71,001,500
–
Consumer
Non-Cyclical
114,306,917
–
114,306,917
–
Energy
79,086,908
–
79,086,908
–
Financials
172,464,387
–
172,464,387
–
Mortgage-Backed
Securities
903,545,759
–
903,545,759
–
Technology
65,022,633
–
65,022,633
–
Transportation
15,044,549
–
15,044,549
–
U.S.
Government
&
Agencies
971,000,579
–
971,000,579
–
Utilities
64,150,720
–
64,150,720
–
Common
Stock
Communications
Services
185,162,658
183,917,177
1,170,482
74,999
Consumer
Discretionary
433,552,913
431,706,065
1,846,848
–
Consumer
Staples
64,510,638
63,247,027
1,263,611
–
Energy
41,635,730
40,840,685
795,045
–
Financials
277,936,117
271,105,810
6,830,307
–
Health
Care
438,686,819
435,531,885
3,154,934
–
Industrials
333,433,436
329,790,611
3,642,825
–
Information
Technology
768,810,226
763,837,248
4,972,978
–
Materials
81,700,275
78,659,895
3,040,371
9
Real
Estate
131,176,895
129,993,512
1,183,383
–
Utilities
24,721,353
24,606,434
114,919
–
Short-Term
Investments
131,385,672
–
131,385,672
–
Subtotal
Investments
in
Securities
$9,206,376,742
$6,005,376,389
$3,194,779,541
$6,220,812
Other
Investments *
Total
Affiliated
Short-Term
Investments
983,100,062
Affiliated
Registered
Investment
Companies
811,267,388
Collateral
Held
for
Securities
Loaned
81,046,765
Subtotal
Other
Investments
$1,875,414,215
Total
Investments
at
Value
$11,081,790,957
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
224
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
1,431,417
1,431,417
–
–
Total
Asset
Derivatives
$1,431,417
$1,431,417
$–
$–
Liability
Derivatives
Futures
Contracts
16,394,307
16,394,307
–
–
Call
Options
Written
282,420
–
–
282,420
Credit
Default
Swaps
14,459
–
14,459
–
Total
Liability
Derivatives
$16,691,186
$16,394,307
$14,459
$282,420
The
following
table
presents
Moderate
Allocation
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$127,786,253
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
644
December
2020
$
142,265,602
$
33,243
CBOT
5-Yr.
U.S.
Treasury
Note
712
December
2020
89,653,032
81,218
CBOT
U.S.
Long
Bond
236
December
2020
41,733,643
(
131,267)
CME
E-mini
Russell
2000
Index
32
December
2020
2,384,653
22,387
CME
E-mini
S&P
500
Index
6,080
December
2020
1,017,718,704
1,289,297
CME
E-mini
S&P
Mid-Cap
400
Index
8
December
2020
1,479,448
5,272
CME
Euro
Foreign
Exchange
Currency
498
December
2020
73,560,959
(
507,472)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
222
December
2020
50,009,596
(
767,221)
Eurex
Euro
STOXX
50
Index
2,004
December
2020
77,822,000
(
3,104,621)
ICE
mini
MSCI
EAFE
Index
2,115
December
2020
201,818,805
(
5,842,905)
ICE
US
mini
MSCI
Emerging
Markets
Index
3,195
December
2020
176,931,846
(
3,043,971)
Total
Futures
Long
Contracts
$
1,875,378,288
(
$
11,966,040)
CBOT
10-Yr.
U.S.
Treasury
Note
(198)
December
2020
(
$
27,595,711)
(
$
31,476)
CME
E-mini
Russell
2000
Index
(7,359)
December
2020
(
551,187,342)
(
2,356,638)
CME
E-mini
S&P
Mid-Cap
400
Index
(2,845)
December
2020
(
527,453,498)
(
550,052)
Ultra
10-Yr.
U.S.
Treasury
Note
(149)
December
2020
(
23,769,677)
(
58,684)
Total
Futures
Short
Contracts
(
$
1,130,006,228)
($2,996,850)
Total
Futures
Contracts
$
745,372,060
($14,962,890)
The
following
table
presents
Moderate
Allocation
Portfolio's
options
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$659,872
were
pledged
as
collateral
for
these
contracts.
Option
_
Description
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(33.50)
$
104.88
October
2020
35,135,742
(
$
48,614)
$
87,480
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(33.50)
102.78
November
2020
34,547,850
(
233,806)
(
34,900)
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Total
Options
Written
Contracts
($282,420)
$52,580
(*) Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
225
Counterparty:
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Moderate
Allocation
Portfolio's
swaps
contracts
held
as
of
September
30,
2020.
Investments
totaling
$1,799,769
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
35,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2025
$
21,700,000
$
–
(
$
14,459)
(
$
14,459)
Total
Credit
Default
Swaps
$–
($14,459)
($14,459)
1
As
the
buyer
of
protection,
Moderate
Allocation
Portfolio
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Moderate
Allocation
Portfolio
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Moderate
Allocation
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Moderate
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
226
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Moderate
Allocation
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$211,495
$33,423
$–
$245,157
24,965
2.4%
Core
Emerging
Markets
Equity*
–
49,500
–
51,612
5,060
0.5
Core
International
Equity
105,008
–
–
95,530
10,770
0.9
Core
Low
Volatility
Equity
332,941
83,999
–
418,968
34,885
4.1
Global
Stock
378,859
43,480
–
381,136
30,845
3.7
High
Yield
197,930
7,705
–
192,222
43,072
1.9
Income
609,212
17,215
–
655,120
59,057
6.3
International
Allocation
574,102
22,843
45,000
472,655
52,945
4.6
International
Index*
–
45,000
–
51,833
4,648
0.5
Large
Cap
Value
681,756
25,104
–
600,222
37,121
5.8
Limited
Maturity
Bond
335,345
5,615
–
345,010
34,365
3.3
Mid
Cap
Stock
398,223
15,239
–
393,931
21,360
3.8
Small
Cap
Stock
109,621
11,714
–
98,996
6,427
1.0
Total
Affiliated
Registered
Investment
Companies
3,934,492
4,002,392
38.8
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
839,897
1,507,768
1,364,021
983,100
98,310
9.5
Total
Affiliated
Short-Term
Investments
839,897
983,100
9.5
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
31,479
680,880
631,312
81,047
81,047
0.8
Total
Collateral
Held
for
Securities
Loaned
31,479
81,047
0.8
Total
Value
$4,805,868
$5,066,539
*
Non-income
producing
security.
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$239
–
$7,922
Core
Emerging
Markets
Equity*
–
2,112
–
–
Core
International
Equity
–
(9,478)
–
–
Core
Low
Volatility
Equity
–
2,028
–
–
Global
Stock
–
(41,203)
37,198
6,281
High
Yield
–
(13,413)
–
7,701
Income
–
28,693
3,034
14,186
International
Allocation
(23,715)
(55,575)
7,793
15,050
International
Index*
–
6,833
–
–
Large
Cap
Value
–
(106,638)
13,309
11,795
Limited
Maturity
Bond
–
4,050
–
5,611
Mid
Cap
Stock
–
(19,531)
13,338
1,902
Small
Cap
Stock
–
(22,339)
11,022
692
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(213)
(331)
–
6,202
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$77,342
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
304
Total
Affiliated
Income
from
Securities
Loaned,
Net
$304
Total
Value
$(23,928)
$(224,553)
$85,694
*
Non-income
producing
security.
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
227
Principal
Amount
Bank
Loans
(
0.9%
)
a
Value
Basic
Materials
(0.1%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
219,938
4.756%,
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
210,920
Chemours
Company,
Term
Loan
362,595
1.900%,
(LIBOR
1M
+
1.750%),
4/3/2025
b
348,998
Hexion,
Inc.,
Term
Loan
303,463
3.800%,
(LIBOR
3M
+
3.500%),
7/1/2026
b
298,153
Innophos
Holdings,
Inc.,
Term
Loan
303,475
3.897%,
(LIBOR
1M
+
3.750%),
2/7/2027
b,c
300,440
Momentive
Performance
Materials
USA,
LLC,
Term
Loan
333,775
3.410%,
(LIBOR
1M
+
3.250%),
5/15/2024
b
318,965
Nouryon
USA,
LLC,
Term
Loan
610,721
3.151%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
590,439
Peabody
Energy
Corporation,
Term
Loan
351,000
2.897%,
(LIBOR
1M
+
2.750%),
3/31/2025
b
136,013
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
602,420
7.500%,
(LIBOR
1M
+
6.500%),
10/31/2024
b
599,408
PQ
Corporation,
Term
Loan
334,163
4.000%,
(LIBOR
3M
+
3.000%),
2/7/2027
b
332,158
Total
3,135,494
Capital
Goods
(0.1%)
Advanced
Disposal
Services,
Inc.,
Term
Loan
420,918
3.000%,
(LIBOR
1W
+
2.250%),
11/10/2023
b
419,865
Asplundh
Tree
Expert,
LLC,
Term
Loan
185,000
0.000%,
(LIBOR
1M
+
2.500%),
9/4/2027
b,d,e
184,654
Flex
Acquisition
Company,
Inc.
Term
Loan
659,877
3.546%,
(LIBOR
3M
+
3.250%),
6/29/2025
b
639,256
GFL
Environmental,
Inc.,
Term
Loan
511,369
4.000%,
(LIBOR
3M
+
3.000%),
5/31/2025
b
508,557
Graham
Packaging
Company,
Inc.,
Term
Loan
300,000
4.500%,
(LIBOR
1M
+
3.750%),
8/4/2027
b
297,876
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
470,141
3.523%,
(LIBOR
3M
+
3.250%),
4/3/2024
b
440,465
Navistar,
Inc.,
Term
Loan
107,250
3.660%,
(LIBOR
1M
+
3.500%),
11/6/2024
b
106,177
Principal
Amount
Bank
Loans
(0.9%)
a
Value
Capital
Goods
(0.1%)
-
continued
Reynolds
Group
Holdings,
Inc.,
Term
Loan
$
217,743
3.979%,
(LIBOR
1M
+
2.750%),
2/5/2023
b
$
214,832
365,000
0.000%,
(LIBOR
1M
+
3.250%),
2/16/2026
b,d,e
358,065
TransDigm,
Inc.,
Term
Loan
1,064,718
2.397%,
(LIBOR
1M
+
2.250%),
12/9/2025
b
1,004,828
Vertiv
Group
Corporation,
Term
Loan
1,024,850
3.157%,
(LIBOR
1M
+
3.000%),
3/2/2027
b
1,007,428
Total
5,182,003
Communications
Services
(0.2%)
Altice
France
SA,
Term
Loan
299,925
2.897%,
(LIBOR
1M
+
2.750%),
7/31/2025
b
285,661
CenturyLink,
Inc.,
Term
Loan
714,600
2.397%,
(LIBOR
1M
+
2.250%),
3/15/2027
b
685,380
CommScope,
Inc.,
Term
Loan
578,539
3.397%,
(LIBOR
1M
+
3.250%),
4/4/2026
b
562,733
Coral-US
Co-Borrower,
LLC,
Term
Loan
1,270,000
2.397%,
(LIBOR
1M
+
2.250%),
1/31/2028
b
1,226,845
CSC
Holdings,
LLC,
Term
Loan
87,075
2.402%,
(LIBOR
1M
+
2.250%),
7/17/2025
b
84,089
Diamond
Sports
Group,
LLC,
Term
Loan
913,039
3.400%,
(LIBOR
1M
+
3.250%),
8/24/2026
b
704,565
Entercom
Media
Corporation,
Term
Loan
456,914
2.645%,
(LIBOR
1M
+
2.500%),
11/17/2024
b
428,928
GCI,
LLC,
Term
Loan
680,000
0.000%,
(LIBOR
1M
+
2.750%),
9/24/2025
b,c,d,e
674,900
Gray
Television,
Inc.,
Term
Loan
275,000
2.405%,
(LIBOR
1M
+
2.250%),
2/7/2024
b
268,763
HCP
Acquisition,
LLC,
Term
Loan
681,085
4.000%,
(LIBOR
1M
+
3.000%),
5/16/2024
b
676,120
iHeartCommunications,
Inc.,
Term
Loan
353,221
3.147%,
(LIBOR
1M
+
3.000%),
5/1/2026
b
334,401
Mediacom
Illinois,
LLC,
Term
Loan
118,087
1.860%,
(LIBOR
1W
+
1.750%),
2/15/2024
b
116,907
NEP
Group,
Inc.,
Term
Loan
707,400
3.397%,
(LIBOR
1M
+
3.250%),
10/20/2025
b
606,419
70,000
7.147%,
(LIBOR
1M
+
7.000%),
10/19/2026
b
54,600
Nexstar
Broadcasting,
Inc.,
Term
Loan
765,000
2.905%,
(LIBOR
1M
+
2.750%),
9/19/2026
b
747,152
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
228
Principal
Amount
Bank
Loans
(0.9%)
a
Value
Communications
Services
(0.2%)
-
continued
Nielsen
Finance,
LLC,
Term
Loan
$
249,375
4.750%,
(LIBOR
1M
+
3.750%),
6/4/2025
b
$
248,876
Radiate
Holdco,
LLC,
Term
Loan
1,020,000
0.000%,
(LIBOR
1M
+
3.500%),
9/11/2026
b,d,e
1,000,875
SBA
Senior
Finance
II,
LLC,
Term
Loan
475,139
1.900%,
(LIBOR
1M
+
1.750%),
4/11/2025
b
462,234
Terrier
Media
Buyer,
Inc.,
Term
Loan
397,000
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
386,650
169,575
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
164,700
T-Mobile
USA,
Inc.,
Term
Loan
763,088
3.147%,
(LIBOR
1M
+
3.000%),
4/1/2027
b
761,928
TNS,
Inc.,
Term
Loan
388,012
4.150%,
(LIBOR
1M
+
4.000%),
8/14/2022
b
384,617
WideOpenWest
Finance,
LLC,
Term
Loan
761,002
4.250%,
(LIBOR
1M
+
3.250%),
8/19/2023
b
748,278
Windstream
Services,
LLC,
Term
Loan
799,211
0.000%,
(PRIME
+
5.000%),
3/30/2021
b,f
481,125
Xplornet
Communications,
Inc.,
Term
Loan
394,013
4.897%,
(LIBOR
1M
+
4.750%),
6/11/2027
b
385,888
Ziggo
Financing
Partnership,
Term
Loan
675,000
2.652%,
(LIBOR
1M
+
2.500%),
4/30/2028
b
648,466
Total
13,131,100
Consumer
Cyclical
(0.1%)
1011778
B.C.,
LLC,
Term
Loan
763,078
1.897%,
(LIBOR
1M
+
1.750%),
11/19/2026
b
730,327
Boyd
Gaming
Corporation,
Term
Loan
36,325
2.356%,
(LIBOR
1W
+
2.250%),
9/15/2023
b
35,276
Caesars
Resort
Collection,
LLC,
Term
Loan
575,000
0.000%,
(LIBOR
1M
+
4.500%),
7/20/2025
b,d,e
555,674
Cengage
Learning,
Inc.,
Term
Loan
280,665
5.250%,
(LIBOR
3M
+
4.250%),
6/7/2023
b
233,954
Four
Seasons
Hotels,
Ltd.,
Term
Loan
437,500
2.147%,
(LIBOR
1M
+
2.000%),
11/30/2023
b
424,922
Golden
Entertainment,
Inc.,
Term
Loan
936,050
3.750%,
(LIBOR
1M
+
3.000%),
10/20/2024
b
895,098
Principal
Amount
Bank
Loans
(0.9%)
a
Value
Consumer
Cyclical
(0.1%)
-
continued
Golden
Nugget,
LLC,
Term
Loan
$
302,447
3.250%,
(LIBOR
2M
+
2.500%),
10/4/2023
b
$
268,857
IAA,
Inc.,
Term
Loan
222,525
2.438%,
(LIBOR
1M
+
2.250%),
6/28/2026
b,c
218,631
LCPR
Loan
Financing,
LLC,
Term
Loan
1,120,000
5.152%,
(LIBOR
1M
+
5.000%),
10/15/2026
b
1,117,670
Michaels
Stores,
Inc.,
Term
Loan
410,000
0.000%,
(LIBOR
1M
+
3.500%),
9/17/2027
b,c,d,e
399,750
Penn
National
Gaming,
Inc.,
Term
Loan
368,437
3.000%,
(LIBOR
1M
+
2.250%),
10/15/2025
b
357,517
Scientific
Games
International,
Inc.,
Term
Loan
1,806,697
3.471%,
(LIBOR
1M
+
2.750%),
8/14/2024
b
1,695,784
Staples,
Inc.,
Term
Loan
98,501
4.751%,
(LIBOR
3M
+
4.500%),
9/12/2024
b
92,426
568,782
5.251%,
(LIBOR
3M
+
5.000%),
4/12/2026
b
527,721
Stars
Group
Holdings
BV,
Term
Loan
536,883
3.720%,
(LIBOR
3M
+
3.500%),
7/10/2025
b
535,058
Tenneco,
Inc.,
Term
Loan
299,787
3.147%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
269,622
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
303,800
1.897%,
(LIBOR
1M
+
1.750%),
5/30/2025
b
292,502
Total
8,650,789
Consumer
Non-Cyclical
(0.2%)
Bausch
Health
Americas,
Inc.,
Term
Loan
758,575
3.151%,
(LIBOR
1M
+
3.000%),
6/1/2025
b
742,615
Bellring
Brands,
LLC,
Term
Loan
180,316
6.000%,
(LIBOR
1M
+
5.000%),
10/21/2024
b
180,392
Change
Healthcare
Holdings,
LLC,
Term
Loan
365,142
3.500%,
(LIBOR
1M
+
2.500%),
3/1/2024
b
356,985
Chobani,
LLC,
Term
Loan
531,720
4.500%,
(LIBOR
1M
+
3.500%),
10/10/2023
b
525,073
Dole
Food
Company,
Inc.,
Term
Loan
605,878
3.750%,
(LIBOR
1M
+
2.750%),
4/6/2024
b,d,e
596,160
Endo
International
plc,
Term
Loan
303,203
5.000%,
(LIBOR
3M
+
4.250%),
4/27/2024
b
288,043
Energizer
Holdings,
Inc.,
Term
Loan
217,883
2.438%,
(LIBOR
1M
+
2.250%),
12/17/2025
b
214,070
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
229
Principal
Amount
Bank
Loans
(0.9%)
a
Value
Consumer
Non-Cyclical
(0.2%)
-
continued
Froneri
U.S.,
Inc.,
Term
Loan
$
215,000
0.000%,
(LIBOR
1M
+
2.250%),
1/31/2027
b,d,e
$
206,170
Global
Medical
Response,
Inc.,
Term
Loan
1,519,326
4.250%,
(LIBOR
3M
+
3.250%),
4/28/2022
b
1,513,871
53,488
5.250%,
(LIBOR
3M
+
4.250%),
3/14/2025
b
51,705
1,395,000
0.000%,
(LIBOR
1M
+
4.750%),
9/24/2025
b,d,e
1,362,301
IQVIA,
Inc.,
Term
Loan
174,103
1.897%,
(LIBOR
1M
+
1.750%),
1/1/2025
b
171,528
JBS
USA
LUX
SA,
Term
Loan
801,859
2.147%,
(LIBOR
1M
+
2.000%),
5/1/2026
b
779,006
Libbey
Glass,
Inc.,
Term
Loan
65,089
0.000%,PIK
5.750%,
(LIBOR
1M
+
5.000%),
4/9/2021
b,g,h
10,197
MPH
Acquisition
Holdings,
LLC,
Term
Loan
1,440,000
3.750%,
(LIBOR
3M
+
2.750%),
6/7/2023
b
1,415,318
Ortho-Clinical
Diagnostics
SA,
Term
Loan
1,314,016
3.406%,
(LIBOR
1M
+
3.250%),
6/30/2025
b
1,255,543
Plantronics,
Inc.,
Term
Loan
365,251
2.647%,
(LIBOR
1M
+
2.500%),
7/2/2025
b
342,269
Sotera
Health
Holdings,
LLC,
Term
Loan
427,850
5.500%,
(LIBOR
3M
+
4.500%),
12/13/2026
b
425,711
US
Foods,
Inc.,
Term
Loan
243,727
1.897%,
(LIBOR
1M
+
1.750%),
6/27/2023
b
233,978
Total
10,670,935
Energy
(<0.1%)
BCP
Raptor
II,
LLC,
Term
Loan
439,437
4.897%,
(LIBOR
1M
+
4.750%),
11/3/2025
b
306,143
Buckeye
Partners,
LP,
Term
Loan
488,448
2.897%,
(LIBOR
1M
+
2.750%),
11/1/2026
b,d,e
478,679
Calpine
Corporation,
Term
Loan
537,967
2.400%,
(LIBOR
1M
+
2.250%),
1/15/2024
b
522,791
Illuminate
Buyer,
LLC,
Term
Loan
345,000
4.147%,
(LIBOR
1M
+
4.000%),
6/30/2027
b
341,767
Lealand
Finance
Company
BV,
Term
Loan
119,053
0.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b
88,893
Total
1,738,273
Financials
(0.1%)
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
310,410
2.500%,
(LIBOR
1M
+
1.750%),
1/15/2025
b
301,312
Principal
Amount
Bank
Loans
(0.9%)
a
Value
Financials
(0.1%)
-
continued
Blackstone
CQP
Holdco,
LP,
Term
Loan
$
711,000
3.725%,
(LIBOR
3M
+
3.500%),
9/30/2024
b
$
694,825
BPR
Nimbus,
LLC,
Term
Loan
575,066
2.647%,
(LIBOR
1M
+
2.500%),
8/24/2025
b
464,573
Delos
Finance
SARL,
Term
Loan
305,000
1.970%,
(LIBOR
3M
+
1.750%),
10/6/2023
b
297,527
INEOS
U.S.
Finance,
LLC,
Term
Loan
243,747
2.147%,
(LIBOR
1M
+
2.000%),
3/31/2024
b
236,366
Level
3
Financing,
Inc.,
Term
Loan
680,000
1.897%,
(LIBOR
1M
+
1.750%),
3/1/2027
b
658,111
MoneyGram
International,
Inc.,
Term
Loan
400,016
7.000%,
(LIBOR
3M
+
6.000%),
6/30/2023
b
389,516
Newco
Financing
Partnership,
Term
Loan
462,500
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
448,162
Northriver
Midstream
Finance,
LP,
Term
Loan
549,394
3.546%,
(LIBOR
3M
+
3.250%),
10/1/2025
b
530,077
Tronox
Finance,
LLC,
Term
Loan
847,432
3.177%,
(LIBOR
3M
+
3.000%),
9/22/2024
b
832,907
UPC
Financing
Partnership,
Term
Loan
462,500
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
448,163
Vericast
Corporation,
Term
Loan
153,379
5.750%,
(LIBOR
3M
+
4.750%),
11/3/2023
b,d,e
124,985
Total
5,426,524
Technology
(0.1%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
820,629
3.761%,
(LIBOR
3M
+
3.500%),
8/21/2026
b,d,e
744,926
Prime
Security
Services
Borrower,
LLC,
Term
Loan
1,487,743
4.250%,
(LIBOR
1M
+
3.250%),
9/23/2026
b
1,472,598
Rackspace
Technology
Global,
Inc.,
Term
Loan
1,307,466
4.000%,
(LIBOR
3M
+
3.000%),
11/3/2023
b
1,281,160
SS&C
Technologies,
Inc.,
Term
Loan
442,146
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
427,409
313,522
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
303,072
215,544
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
208,539
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
230
Principal
Amount
Bank
Loans
(0.9%)
a
Value
Technology
(0.1%)
-
continued
Zayo
Group
Holdings,
Inc.,
Term
Loan
$
975,100
3.147%,
(LIBOR
1M
+
3.000%),
3/9/2027
b
$
944,979
Total
5,382,683
Transportation
(<0.1%)
Delta
Air
Lines,
Inc.,
Term
Loan
443,888
5.750%,
(LIBOR
3M
+
4.750%),
4/29/2023
b
442,778
Genesee
&
Wyoming,
Inc.,
Term
Loan
606,950
2.220%,
(LIBOR
3M
+
2.000%),
12/30/2026
b
596,425
Mileage
Plus
Holdings,
LLC,
Term
Loan
335,000
6.250%,
(LIBOR
3M
+
5.250%),
6/20/2027
b
340,213
SkyMiles
IP,
Ltd.,
Term
Loan
80,000
0.000%,
(LIBOR
1M
+
3.750%),
10/20/2027
b,d,e
80,529
United
Airlines,
Inc.,
Term
Loan
228,226
1.895%,
(LIBOR
1M
+
1.750%),
4/1/2024
b
214,722
Total
1,674,667
Utilities
(<0.1%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
130,605
2.438%,
(LIBOR
1M
+
2.250%),
9/24/2026
b
130,170
Core
and
Main,
LP,
Term
Loan
495,975
3.750%,
(LIBOR
3M
+
2.750%),
8/1/2024
b
484,969
EnergySolutions,
LLC,
Term
Loan
317,687
4.750%,
(LIBOR
3M
+
3.750%),
5/11/2025
b
302,598
Pacific
Gas
&
Electric
Company,
Term
Loan
758,100
5.500%,
(LIBOR
1M
+
4.500%),
1/1/2022
b
741,672
Talen
Energy
Supply,
LLC,
Term
Loan
247,950
3.897%,
(LIBOR
1M
+
3.750%),
7/8/2026
b
244,437
Total
1,903,846
Total
Bank
Loans
(cost
$58,892,886)
56,896,314
Shares
Registered
Investment
Companies
(
45.4%
)
Value
Unaffiliated (0.7%)
21,722
Health
Care
Select
Sector
SPDR
Fund
2,291,237
209,950
Invesco
Senior
Loan
ETF
4,564,313
26,599
iShares
Dow
Jones
US
Home
Construction
Index
Fund
1,506,833
25,354
ProShares
Ultra
S&P
500
i
1,862,758
96,828
SPDR
S&P
500
ETF
Trust
i
32,426,729
39,518
SPDR
S&P
Regional
Banking
ETF
1,410,002
Shares
Registered
Investment
Companies
(45.4%)
Value
Unaffiliated (0.7%)-
continued
286
Utilities
Select
Sector
SPDR
Fund
$
16,983
Total
44,078,855
Affiliated (44.7%)
8,951,571
Thrivent
Core
Emerging
Markets
Debt
Fund
87,904,425
4,203,788
Thrivent
Core
Emerging
Markets
Equity
Fund
j
42,878,642
21,177,134
Thrivent
Core
International
Equity
Fund
187,841,180
28,116,060
Thrivent
Core
Low
Volatility
Equity
Fund
337,673,883
33,286,811
Thrivent
Global
Stock
Portfolio
411,311,809
13,410,056
Thrivent
High
Yield
Portfolio
59,846,397
17,519,840
Thrivent
Income
Portfolio
194,347,586
54,722,469
Thrivent
International
Allocation
Portfolio
488,523,896
3,304,897
Thrivent
International
Index
Portfolio
j
36,858,860
26,680,566
Thrivent
Large
Cap
Value
Portfolio
431,406,078
10,357,404
Thrivent
Limited
Maturity
Bond
Portfolio
103,985,228
25,857,777
Thrivent
Mid
Cap
Stock
Portfolio
476,882,057
6,600,208
Thrivent
Small
Cap
Stock
Portfolio
101,663,662
Total
2,961,123,703
Total
Registered
Investment
Companies
(cost
$2,749,128,261)
3,005,202,558
Shares
Common
Stock
(
31.3%
)
Value
Communications
Services
(1.8%)
129,028
Activision
Blizzard,
Inc.
10,444,817
29,041
Alphabet,
Inc.,
Class
A
j
42,562,490
2,086
Alphabet,
Inc.,
Class
C
j
3,065,586
31,005
ANGI
Homeservices,
Inc.
j
344,000
1,527
AT&T,
Inc.
43,535
24,327
Cinemark
Holdings,
Inc.
243,270
14,095
Comcast
Corporation
652,035
5,763
Consolidated
Communications
Holdings,
Inc.
j
32,791
6,590
Discovery,
Inc.,
Class
A
i,j
143,464
4,807
DISH
Network
Corporation
j
139,547
10,441
EchoStar
Corporation
j
259,876
85,194
Facebook,
Inc.
j
22,312,309
123,979
Gannett
Company,
Inc.
161,173
6,302
Hemisphere
Media
Group,
Inc.
j
54,764
691
IAC/InterActiveCorp
j
82,768
35,565
Interpublic
Group
of
Companies,
Inc.
592,869
248,523
Live
Nation
Entertainment,
Inc.
j
13,390,419
1,598
Match
Group,
Inc.
j
176,819
24,039
Meredith
Corporation
315,392
7,793
News Corporation
108,946
5,444
Omnicom
Group,
Inc.
269,478
118,400
ORBCOMM,
Inc.
j
402,560
231,850
QuinStreet,
Inc.
j
3,672,504
16,052
RingCentral,
Inc.
j
4,408,040
7,652
Scholastic
Corporation
160,615
16,397
Take-Two
Interactive
Software,
Inc.
j
2,709,112
4,790
Twitter,
Inc.
j
213,155
321,141
Uber
Technologies,
Inc.
j
11,715,224
11,485
Verizon
Communications,
Inc.
683,243
19,564
Walt
Disney
Company
2,427,501
3,951
Windstream
Services,
LLC
Rights
c,j
37,495
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
231
Shares
Common
Stock
(31.3%)
Value
Communications
Services
(1.8%)
-
continued
3,649
Zillow
Group,
Inc.
j
$
370,519
Total
122,196,316
Consumer
Discretionary
(5.0%)
9,807
Aaron's,
Inc.
555,566
16,369
Adient
plc
j
283,675
31,918
Amazon.com,
Inc.
j
100,501,164
17,396
American
Eagle
Outfitters,
Inc.
257,635
2,125
American
Public
Education,
Inc.
j
59,904
141,173
Aptiv
plc
12,942,741
15,717
At
Home
Group,
Inc.
j
233,555
4,222
AutoNation,
Inc.
j
223,470
1,449
AutoZone,
Inc.
j
1,706,400
15,418
Beazer
Homes
USA,
Inc.
j
203,518
32,941
Bed
Bath
&
Beyond,
Inc.
i
493,456
5,425
Big
Lots,
Inc.
241,955
19,607
BJ's
Restaurants,
Inc.
577,230
1,128
Booking
Holdings,
Inc.
j
1,929,647
48,094
Bright
Horizons
Family
Solutions,
Inc.
j
7,312,212
3,260
Brunswick
Corporation
192,047
21,561
Burlington
Stores,
Inc.
j
4,443,506
15,625
Caesars
Entertainment,
Inc.
j
875,937
15,013
Camping
World
Holdings,
Inc.
446,637
26,985
Capri
Holdings,
Ltd.
j
485,730
15,617
Carnival
Corporation
237,066
347
Cavco
Industries,
Inc.
j
62,568
77,672
Cedar
Fair,
LP
2,180,253
6,423
Century
Casinos,
Inc.
j
35,198
7,784
Century
Communities,
Inc.
j
329,497
50,739
Chewy,
Inc.
i,j
2,782,019
167,292
Chico's
FAS,
Inc.
162,691
11,815
Chipotle
Mexican
Grill,
Inc.
j
14,694,434
3,260
Choice
Hotels
International,
Inc.
280,230
4,466
Churchill
Downs,
Inc.
731,620
256,567
Cooper-Standard
Holdings,
Inc.
j
3,389,250
7,445
Cracker
Barrel
Old
Country
Store,
Inc.
853,644
66,035
Crocs,
Inc.
j
2,821,675
24,549
Culp,
Inc.
304,899
2,211
D.R.
Horton,
Inc.
167,218
12,027
Dana,
Inc.
148,173
11,715
Darden
Restaurants,
Inc.
1,180,169
21,648
Dave
&
Buster's
Entertainment,
Inc.
i
328,184
5,171
Deckers
Outdoor
Corporation
j
1,137,672
10,802
Denny's
Corporation
j
108,020
25,365
Designer
Brands,
Inc.
137,732
9,693
Dick's
Sporting
Goods,
Inc.
561,031
7,853
Dine
Brands
Global,
Inc.
428,695
14,383
Domino's
Pizza,
Inc.
6,116,802
599
Dorman
Products,
Inc.
j
54,138
208,782
Duluth
Holdings,
Inc.
i,j
2,551,316
4,103
Dunkin'
Brands
Group,
Inc.
336,077
3,496
eBay,
Inc.
182,142
36,952
Emerald
Holding,
Inc.
75,382
10,694
Ethan
Allen
Interiors,
Inc.
144,797
44,885
Etsy,
Inc.
j
5,459,362
18,798
Express,
Inc.
j
11,467
12,085
Extended
Stay
America,
Inc.
144,416
66,866
Five
Below,
Inc.
j
8,491,982
10,297
Foot
Locker,
Inc.
340,110
1,733
Fox
Factory
Holding
Corporation
j
128,814
13,498
Gap,
Inc.
229,871
14,475
Genuine
Parts
Company
1,377,586
24,916
Goodyear
Tire
&
Rubber
Company
191,106
Shares
Common
Stock
(31.3%)
Value
Consumer
Discretionary
(5.0%)
-
continued
8,124
Grand
Canyon
Education,
Inc.
j
$
649,433
5,315
Harley-Davidson,
Inc.
130,430
4,746
Helen
of
Troy,
Ltd.
j
918,446
86,072
Home
Depot,
Inc.
23,903,055
2,762
Hovnanian
Enterprises,
Inc.
j
89,820
8,243
Jack
in
the
Box,
Inc.
653,752
15,058
KB
Home
578,077
31,527
Knoll,
Inc.
380,216
47,441
Kohl's
Corporation
879,082
32,577
L
Brands,
Inc.
1,036,274
20,824
Lear
Corporation
2,270,857
70,272
Leggett
&
Platt,
Inc.
2,893,098
9,045
Lithia
Motors,
Inc.
2,061,717
10,554
Lowe's
Companies,
Inc.
1,750,486
1,029
Lululemon
Athletica,
Inc.
j
338,922
48,165
Macy's,
Inc.
i
274,540
1,870
Madison
Square
Garden
Sports
Corporation
j
281,398
16,286
Marcus
Corporation
125,891
2,508
Marriott
Vacations
Worldwide
Corporation
227,751
34,535
Mattel,
Inc.
j
404,059
10,892
McDonald's
Corporation
2,390,685
97
Mercadolibre,
Inc.
j
105,001
7,606
Meritage
Homes
Corporation
j
839,626
36,882
Michaels
Companies,
Inc.
j
356,096
26,452
Miller
Industries,
Inc.
808,638
12,814
Modine
Manufacturing
Company
j
80,087
9,920
Mohawk
Industries,
Inc.
j
968,093
1,131
Netflix,
Inc.
j
565,534
123,304
NIKE,
Inc.
15,479,584
18,128
Nordstrom,
Inc.
i
216,086
37,661
Norwegian
Cruise
Line
Holdings,
Ltd.
j
644,380
1,470
NVR,
Inc.
j
6,002,186
5,279
Office
Depot,
Inc.
102,677
75,031
Ollie's
Bargain
Outlet
Holdings,
Inc.
j
6,553,958
5,997
Overstock.com,
Inc.
j
435,682
6,401
Park
Hotels
&
Resorts,
Inc.
63,946
58,632
Party
City
Holdco,
Inc.
i,j
152,443
41,836
Penn
National
Gaming,
Inc.
j
3,041,477
153,786
Planet
Fitness,
Inc.
j
9,476,293
195,860
Playa
Hotels
and
Resorts
NV
i,j
820,653
5,824
Polaris,
Inc.
549,436
2,860
Pool
Corporation
956,784
24,382
PulteGroup,
Inc.
1,128,643
6,945
PVH
Corporation
414,200
38,189
Qurate
Retail,
Inc.
274,197
2,937
Red
Robin
Gourmet
Burgers,
Inc.
j
38,651
109,173
Red
Rock
Resorts,
Inc.
1,866,858
1,060
RH
j
405,577
5,510
Royal
Caribbean
Cruises,
Ltd.
356,662
40,611
Ruth's
Hospitality
Group,
Inc.
449,158
13,516
Sally
Beauty
Holdings,
Inc.
j
117,454
3,081
SeaWorld
Entertainment,
Inc.
j
60,757
36,328
Six
Flags
Entertainment
Corporation
737,458
55,465
Skyline
Corporation
j
1,484,798
26,497
Sleep
Number
Corporation
j
1,295,968
2,963
Sony
Corporation
ADR
227,410
25,779
Standard
Motor
Products,
Inc.
1,151,032
101,329
Stoneridge,
Inc.
j
1,861,414
961
Strategic
Education,
Inc.
87,903
68,929
Taylor
Morrison
Home
Corporation
j
1,694,964
31,635
Tenneco,
Inc.
j
219,547
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
232
Shares
Common
Stock
(31.3%)
Value
Consumer
Discretionary
(5.0%)
-
continued
11,280
Tesla,
Inc.
j
$
4,839,233
151,537
Texas
Roadhouse,
Inc.
9,211,934
18,293
Thor
Industries,
Inc.
1,742,591
35,419
Toll
Brothers,
Inc.
1,723,488
16,074
TopBuild
Corporation
j
2,743,671
16,807
Tri
Pointe
Homes,
Inc.
j
304,879
1,316
Tupperware
Brands
Corporation
j
26,531
10,634
Ulta
Beauty,
Inc.
j
2,381,803
6,507
Urban
Outfitters,
Inc.
j
135,411
5,401
Vail
Resorts,
Inc.
1,155,652
1,485
Wayfair,
Inc.
j
432,150
1,737
Whirlpool
Corporation
319,417
8,224
Williams-Sonoma,
Inc.
743,779
26,741
Wingstop,
Inc.
3,654,158
4,704
Workhorse
Group,
Inc.
i,j
118,917
4,647
Wyndham
Destinations,
Inc.
142,942
3,970
YETI
Holdings,
Inc.
j
179,920
4,165
Yum!
Brands,
Inc.
380,264
72,107
Zumiez,
Inc.
j
2,006,017
Total
329,435,348
Consumer
Staples
(0.7%)
110,685
BJ's
Wholesale
Club
Holdings,
Inc.
j
4,598,962
31,874
Casey's
General
Stores,
Inc.
5,662,416
90,242
Celsius
Holdings,
Inc.
j
2,049,396
32,761
Colgate-Palmolive
Company
2,527,511
5,119
Costco
Wholesale
Corporation
1,817,245
301,099
Cott
Corporation
4,275,606
161,285
e.l.f.
Beauty,
Inc.
j
2,962,805
10,950
Hain
Celestial
Group,
Inc.
j
375,585
20,170
John
B.
Sanfilippo
&
Son,
Inc.
1,520,415
940
Kimberly-Clark
Corporation
138,800
31,659
Lamb
Weston
Holdings,
Inc.
2,098,042
2,880
McCormick
&
Company,
Inc.
559,008
1,729
Medifast,
Inc.
284,334
31,579
Monster
Beverage
Corporation
j
2,532,636
19,863
PepsiCo,
Inc.
2,753,012
7,906
Philip
Morris
International,
Inc.
592,871
15,914
Procter
&
Gamble
Company
2,211,887
6,322
Seneca
Foods
Corporation
j
225,885
5,970
Simply
Good
Foods
Company
j
131,638
7,458
TreeHouse
Foods,
Inc.
j
302,273
225,034
Turning
Point
Brands,
Inc.
6,278,449
2,668
Vector
Group,
Ltd.
25,853
10,140
Wal-Mart
Stores,
Inc.
1,418,687
Total
45,343,316
Energy
(0.4%)
64,948
Abraxas
Petroleum
Corporation
j
9,482
43,024
Antero
Midstream
Corporation
231,039
42,625
Apache
Corporation
403,659
125,539
Archrock,
Inc.
675,400
7,460
BP
plc
ADR
130,252
65,811
Centennial
Resource
Development,
Inc.
j
39,644
14,237
ChampionX
Corporation
j
113,754
9,594
Chevron
Corporation
690,768
56,329
Cimarex
Energy
Company
1,370,485
37,546
CNX
Resources
Corporation
j
354,434
28,584
Concho
Resources,
Inc.
1,261,126
2,028
ConocoPhillips
66,599
30,182
Continental
Resources,
Inc.
i
370,635
36,535
Core
Laboratories
NV
557,524
13,505
Delek
US
Holdings,
Inc.
150,311
145,564
Devon
Energy
Corporation
1,377,035
Shares
Common
Stock
(31.3%)
Value
Energy
(0.4%)
-
continued
47,636
Diamondback
Energy,
Inc.
$
1,434,796
103,173
EnLink
Midstream,
LLC
242,457
5,205
Enterprise
Products
Partners,
LP
82,187
15,181
EOG
Resources,
Inc.
545,605
73,820
EQT
Corporation
954,493
57,274
Equitrans
Midstream
Corporation
484,538
5,593
Evolution
Petroleum
Corporation
12,528
41,375
Exterran
Corporation
j
172,120
17,603
Exxon
Mobil
Corporation
604,311
54,606
Frank's
International
NV
j
84,093
63,400
Gran
Tierra
Energy,
Inc.
j
14,728
4,220
Halliburton
Company
50,851
218,372
Helmerich
&
Payne,
Inc.
3,199,150
26,016
Liberty
Oilfield
Services,
Inc.
207,868
114,484
Marathon
Oil
Corporation
468,240
4,095
Marathon
Petroleum
Corporation
120,147
52,642
McDermott
International,
Inc.
j
126,341
3,543
Nabors
Industries,
Ltd.
86,591
31,504
NexTier
Oilfield
Solutions,
Inc.
j
58,282
235,222
Nine
Energy
Service,
Inc.
j
265,801
62,856
Oceaneering
International,
Inc.
j
221,253
127,745
Patterson-UTI
Energy,
Inc.
364,073
12,844
PBF
Energy,
Inc.
73,082
6,156
PDC
Energy,
Inc.
j
76,304
19,866
Peabody
Energy
Corporation
45,692
2,924
Pioneer
Natural
Resources
Company
251,435
35,829
Plains
GP
Holdings,
LP
218,199
18,127
ProPetro
Holding
Corporation
j
73,596
81,045
QEP
Resources,
Inc.
73,167
36,800
Range
Resources
Corporation
243,616
22,606
RPC,
Inc.
j
59,680
17,592
Schlumberger,
Ltd.
273,731
85,577
SEACOR
Holdings,
Inc.
j
2,488,579
69,759
SM
Energy
Company
110,917
122,286
Southwestern
Energy
Company
j
287,372
66,646
Talos
Energy,
Inc.
j
429,867
33,427
Targa
Resources
Corporation
468,981
106,878
TechnipFMC
plc
674,400
2,222
Valero
Energy
Corporation
96,257
191,618
WPX
Energy,
Inc.
j
938,928
Total
24,486,403
Financials
(3.0%)
546
1st
Source
Corporation
16,839
4,116
Aflac,
Inc.
149,617
31,289
AG
Mortgage
Investment
Trust,
Inc.
86,358
95,661
Air
Lease
Corporation
2,814,347
4,177
Alleghany
Corporation
2,173,920
8,600
Ally
Financial,
Inc.
215,602
6,894
American
Equity
Investment
Life
Holding
Company
151,599
100,116
American
Express
Company
10,036,629
82,723
American
Financial
Group,
Inc.
5,540,787
3,077
American
International
Group,
Inc.
84,710
6,980
Ameriprise
Financial,
Inc.
1,075,688
55,413
Ameris
Bancorp
1,262,308
4,647
Aon
plc
958,676
56,391
Apollo
Commercial
Real
Estate
Finance,
Inc.
508,083
7,028
Argo
Group
International
Holdings,
Ltd.
241,974
46,211
Arthur
J.
Gallagher
&
Company
4,878,957
11,314
Artisan
Partners
Asset
Management,
Inc.
441,133
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
233
Shares
Common
Stock
(31.3%)
Value
Financials
(3.0%)
-
continued
107,007
Associated
Banc-Corp
$
1,350,428
182,430
Assured
Guaranty,
Ltd.
3,918,596
23,154
Bancorp,
Inc.
j
200,051
29,333
Bank
of
America
Corporation
706,632
5,278
Bank
of
Marin
Bancorp
152,851
70,366
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
1,567,754
24,740
BankFinancial
Corporation
178,623
31,056
Banner
Corporation
1,001,867
7,764
Berkshire
Hathaway,
Inc.
j
1,653,266
117,402
Berkshire
Hills
Bancorp,
Inc.
1,186,934
4,851
BlackRock,
Inc.
2,733,781
11,416
Blackstone
Mortgage
Trust,
Inc.
250,810
177,894
Boston
Private
Financial
Holdings,
Inc.
981,975
2,895
Bridge
Bancorp,
Inc.
50,460
178,390
Bridgewater
Bancshares,
Inc.
j
1,692,921
16,449
Brighthouse
Financial,
Inc.
j
442,643
64,559
BrightSphere
Investment
Group
832,811
37,842
Brookline
Bancorp,
Inc.
327,144
9,472
Brown
&
Brown,
Inc.
428,797
10,993
Byline
Bancorp,
Inc.
124,001
3,817
Capital
One
Financial
Corporation
274,290
215
Cboe
Global
Markets,
Inc.
18,864
30,068
Central
Pacific
Financial
Corporation
408,023
226,940
Charles
Schwab
Corporation
8,222,036
1,879
Chubb,
Ltd.
218,189
6,205
Cincinnati
Financial
Corporation
483,804
38,752
CIT
Group,
Inc.
686,298
7,759
Citigroup,
Inc.
334,490
14,933
Citizens
Financial
Group,
Inc.
377,506
15,194
Cohen
&
Steers,
Inc.
846,914
98,271
Columbia
Banking
System,
Inc.
2,343,763
1,474
Comerica,
Inc.
56,380
34,987
Community
Trust
Bancorp,
Inc.
988,733
6,128
Cullen/Frost
Bankers,
Inc.
391,886
1,601
Customers
Bancorp,
Inc.
j
17,931
1,147
Diamond
Hill
Investment
Group,
Inc.
144,889
22,338
Discover
Financial
Services
1,290,690
13,091
East
West
Bancorp,
Inc.
428,599
10,551
Ellington
Residential
Mortgage
REIT
117,116
5,189
Encore
Capital
Group,
Inc.
j
200,243
11,419
Enterprise
Financial
Services
Corporation
311,396
55,117
Essent
Group,
Ltd.
2,039,880
37,123
Evercore,
Inc.
2,430,072
595,911
Everi
Holdings,
Inc.
j
4,916,266
40,854
F.N.B.
Corporation
276,990
5,505
FactSet
Research
Systems,
Inc.
1,843,514
8,373
FBL
Financial
Group,
Inc.
403,579
3,260
Federal
Agricultural
Mortgage
Corporation
207,532
28,819
Financial
Institutions,
Inc.
443,813
10,923
First
American
Financial
Corporation
556,090
10,815
First
Bancorp
226,358
76,503
First
BanCorp
399,346
139
First
Bancshares,
Inc.
2,915
48,797
First
Busey
Corporation
775,384
2,518
First
Citizens
BancShares,
Inc.
802,688
11,214
First
Commonwealth
Financial
Corporation
86,796
60,404
First
Financial
Bancorp
725,150
18,822
First
Financial
Corporation
591,011
Shares
Common
Stock
(31.3%)
Value
Financials
(3.0%)
-
continued
100,660
First
Interstate
BancSystem,
Inc.
$
3,206,021
5,154
First
Merchants
Corporation
119,367
1,557
First
Mid-Illinois
Bancshares,
Inc.
38,847
39,766
First
Midwest
Bancorp,
Inc.
428,677
3,956
First
of
Long
Island
Corporation
58,588
18,036
First
Republic
Bank
1,967,006
6,458
Flagstar
Bancorp,
Inc.
191,351
4,294
Flushing
Financial
Corporation
45,173
178,771
Fulton
Financial
Corporation
1,667,933
32,838
Glacier
Bancorp,
Inc.
1,052,458
398
Goldman
Sachs
Group,
Inc.
79,986
47,928
Granite
Point
Mortgage
Trust,
Inc.
339,810
38,310
Great
Southern
Bancorp,
Inc.
1,387,588
44,248
Great
Western
Bancorp,
Inc.
550,888
37,773
Hamilton
Lane,
Inc.
2,439,758
106,277
Hancock
Whitney
Corporation
1,999,070
13,509
Hanmi
Financial
Corporation
110,909
27,866
Hanover
Insurance
Group,
Inc.
2,596,554
3,865
Hartford
Financial
Services
Group,
Inc.
142,464
112,936
Heartland
Financial
USA,
Inc.
3,387,515
275,565
Heritage
Commerce
Corporation
1,833,885
34,380
Hometrust
Bancshares,
Inc.
466,880
72,431
Hope
Bancorp,
Inc.
549,389
43,756
Horizon
Bancorp,
Inc.
441,498
18,308
Houlihan
Lokey,
Inc.
1,081,087
39,708
Independent
Bank
Corporation
499,130
39,798
Interactive
Brokers
Group,
Inc.
1,923,437
4,270
International
Bancshares
Corporation
111,276
16,545
J.P.
Morgan
Chase
&
Company
1,592,787
1,890
Julius
Baer
Group,
Ltd.
80,273
44,371
Kemper
Corporation
2,965,314
14,354
KeyCorp
171,243
31,475
Ladder
Capital
Corporation
224,102
14,858
Lakeland
Bancorp,
Inc.
147,837
4,833
Lincoln
National
Corporation
151,418
10,826
Loews
Corporation
376,203
223
Markel
Corporation
j
217,135
703
MarketAxess
Holdings,
Inc.
338,558
4,805
Marsh
&
McLennan
Companies,
Inc.
551,133
8,933
Mercantile
Bank
Corporation
160,973
42,292
Meridian
Bancorp,
Inc.
437,722
2,811
Meta
Financial
Group,
Inc.
54,027
3,581
MetLife,
Inc.
133,106
12,674
Midland
States
Bancorp,
Inc.
162,861
49,894
MidWestOne
Financial
Group,
Inc.
891,606
1,526
Moody's
Corporation
442,311
5,713
Morgan
Stanley
276,224
948
Morningstar,
Inc.
152,258
22,476
Mr.
Cooper
Group,
Inc.
j
501,664
11,443
MSCI,
Inc.
4,082,634
577
National
Western
Life
Group,
Inc.
105,458
14,093
Northern
Trust
Corporation
1,098,831
18,062
OFG
Bancorp
225,053
8,241
Old
Republic
International
Corporation
121,472
21,799
Old
Second
Bancorp,
Inc.
163,384
39,747
PacWest
Bancorp
678,879
1,734
Peapack-Gladstone
Financial
Corporation
26,270
7,641
Peoples
Bancorp,
Inc.
145,867
105,672
Popular,
Inc.
3,832,723
51,029
Premier
Financial
Corporation
794,777
30,465
Primerica,
Inc.
3,446,810
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
234
Shares
Common
Stock
(31.3%)
Value
Financials
(3.0%)
-
continued
55,635
Prosight
Global,
Inc.
j
$
630,901
28,939
QCR
Holdings,
Inc.
793,218
44,238
Radian
Group,
Inc.
646,317
10,529
Raymond
James
Financial,
Inc.
766,090
46,387
Redwood
Trust,
Inc.
348,830
32,340
Reinsurance
Group
of
America,
Inc.
3,078,445
31,882
S&P
Global,
Inc.
11,496,649
3,749
Safety
Insurance
Group,
Inc.
259,018
88,701
Santander
Consumer
USA
Holdings,
Inc.
1,613,471
170,573
Seacoast
Banking
Corporation
of
Florida
j
3,075,431
50,041
SEI
Investments
Company
2,538,080
22,669
Selective
Insurance
Group,
Inc.
1,167,227
477
Signature
Bank
39,586
32,260
Simmons
First
National
Corporation
511,482
4,553
Southside
Bancshares,
Inc.
111,230
34,509
Starwood
Property
Trust,
Inc.
520,741
18,310
State
Auto
Financial
Corporation
251,946
13,639
Sterling
Bancorp
143,482
11,089
SVB
Financial
Group
j
2,668,235
235,819
Synovus
Financial
Corporation
4,992,288
22,612
T.
Rowe
Price
Group,
Inc.
2,899,311
3,958
TCF
Financial
Corporation
92,459
9,468
Territorial
Bancorp,
Inc.
191,538
6,674
Texas
Capital
Bancshares,
Inc.
j
207,762
28,693
TMX
Group,
Ltd.
2,950,861
493
Torchmark
Corporation
39,391
8,327
Towne
Bank
136,563
43,543
TPG
RE
Finance
Trust,
Inc.
368,374
18,227
TriCo
Bancshares
446,379
103,966
Triumph
Bancorp,
Inc.
j
3,237,501
4,568
Truist
Financial
Corporation
173,812
57,965
TrustCo
Bank
Corporation
302,577
41,388
Two
Harbors
Investment
Corporation
210,665
22,021
United
Bankshares,
Inc.
472,791
3,138
Univest
Financial
Corporation
45,093
58,445
Valley
National
Bancorp
400,348
3,661
Walker
&
Dunlop,
Inc.
194,033
2,206
Washington
Federal,
Inc.
46,017
12,499
Washington
Trust
Bancorp,
Inc.
383,219
59,016
Webster
Financial
Corporation
1,558,613
11,918
Wells
Fargo
&
Company
280,192
13,168
WesBanco,
Inc.
281,268
118,064
Western
Alliance
Bancorp
3,733,184
72,776
Western
Asset
Mortgage
Capital
Corporation
148,463
1,387
Westwood
Holdings
Group,
Inc.
15,451
51,116
Wintrust
Financial
Corporation
2,047,196
23,842
Zions
Bancorporations
NA
696,663
Total
195,988,845
Health
Care
(5.0%)
26,963
Abbott
Laboratories
2,934,383
7,262
AbbVie,
Inc.
636,079
4,579
Acadia
Healthcare
Company,
Inc.
j
134,989
168,752
ACADIA
Pharmaceuticals,
Inc.
j
6,961,020
2,635
Acceleron
Pharma,
Inc.
j
296,517
40,842
ADMA
Biologics,
Inc.
j
97,612
18,401
Adverum
Biotechnologies,
Inc.
j
189,530
17,151
Agile
Therapeutics,
Inc.
i,j
52,139
25,626
Agilent
Technologies,
Inc.
2,586,688
57,588
Agios
Pharmaceuticals,
Inc.
j
2,015,580
Shares
Common
Stock
(31.3%)
Value
Health
Care
(5.0%)
-
continued
23,747
Akebia
Therapeutics,
Inc.
j
$
59,605
1,378
Alexion
Pharmaceuticals,
Inc.
j
157,685
930
Align
Technology,
Inc.
j
304,445
8,799
Alkermes
plc
j
145,799
9,033
AmerisourceBergen
Corporation
875,478
36,389
Amgen,
Inc.
9,248,628
52,992
AMN
Healthcare
Services,
Inc.
j
3,097,912
16,674
AnaptysBio,
Inc.
j
245,941
9,683
Anavex
Life
Sciences
Corporation
i,j
44,058
1,988
Anthem,
Inc.
533,957
15,788
Arena
Pharmaceuticals,
Inc.
j
1,180,784
17,958
Argenx
SE
ADR
j
4,714,334
5,229
Assembly
Biosciences,
Inc.
j
85,965
11,175
Atara
Biotherapeutics,
Inc.
j
144,828
473
Atrion
Corporation
296,098
3,008
AVROBIO,
Inc.
j
39,164
68,039
Axonics
Modulation
Technologies,
Inc.
i,j
3,472,711
2,524
Axsome
Therapeutics,
Inc.
j
179,835
10,992
Baxter
International,
Inc.
883,977
4,486
Becton,
Dickinson
and
Company
1,043,802
637
Biogen,
Inc.
j
180,704
75,219
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
j
4,889,987
3,641
Bio-Rad
Laboratories,
Inc.
j
1,876,790
27,664
Bio-Techne
Corporation
6,853,203
6,184
Bluebird
Bio,
Inc.
j
333,627
4,200
Bruker
Corporation
166,950
8,042
Cantel
Medical
Corporation
353,365
120,161
Catalent,
Inc.
j
10,292,991
3,987
Centene
Corporation
j
232,562
79,387
Cerner
Corporation
5,738,886
10,635
Charles
River
Laboratories
International,
Inc.
j
2,408,296
3,832
Chemed
Corporation
1,840,701
1,427
Cigna
Holding
Company
241,748
13,109
Clovis
Oncology,
Inc.
i,j
76,425
27,623
CryoLife,
Inc.
j
510,197
2,533
CVS
Health
Corporation
147,927
18,582
CytomX
Therapeutics,
Inc.
j
123,570
5,871
Danaher
Corporation
1,264,202
2,800
Deciphera
Pharmaceuticals,
Inc.
j
143,640
14,878
Dexcom,
Inc.
j
6,133,158
29,859
Dynavax
Technologies
Corporation
j
128,991
7,907
Editas
Medicine,
Inc.
j
221,870
112,675
Edwards
Lifesciences
Corporation
j
8,993,718
10,391
Eli
Lilly
and
Company
1,538,076
1,235
Encompass
Health
Corporation
80,250
7,832
Gilead
Sciences,
Inc.
494,904
3,680
GlaxoSmithKline
plc
ADR
138,515
20,041
Global
Blood
Therapeutics,
Inc.
j
1,105,061
85,558
Guardant
Health,
Inc.
j
9,563,673
13,863
Haemonetics
Corporation
j
1,209,547
159,596
Halozyme
Therapeutics,
Inc.
j
4,194,183
1,379
HCA
Healthcare,
Inc.
171,934
3,314
HealthStream,
Inc.
j
66,512
23,288
Hill-Rom
Holdings,
Inc.
1,944,781
17,936
Humana,
Inc.
7,423,531
130
ICU
Medical,
Inc.
j
23,759
1,094
IDEXX
Laboratories,
Inc.
j
430,062
31,850
ImmunoGen,
Inc.
j
114,660
2,920
Incyte
Corporation
j
262,041
7,581
Insmed,
Inc.
j
243,653
39,022
Inspire
Medical
Systems,
Inc.
j
5,035,789
20,071
Insulet
Corporation
j
4,748,598
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
235
Shares
Common
Stock
(31.3%)
Value
Health
Care
(5.0%)
-
continued
20,559
Intuitive
Surgical,
Inc.
j
$
14,587,433
16,407
Invitae
Corporation
i,j
711,243
9,667
Iovance
Biotherapeutics,
Inc.
j
318,238
12,431
IQVIA
Holding,
Inc.
j
1,959,499
1,860
Jazz
Pharmaceuticals,
Inc.
j
265,217
37,185
Johnson
&
Johnson
5,536,103
5,282
Laboratory
Corporation
of
America
Holdings
j
994,442
96,843
LHC
Group,
Inc.
j
20,584,948
13,194
Ligand
Pharmaceuticals,
Inc.
i,j
1,257,652
10,294
MacroGenics,
Inc.
j
259,306
836
Masimo
Corporation
j
197,346
31,293
Medtronic
plc
3,251,969
18,308
Merck
&
Company,
Inc.
1,518,649
6,859
Mersana
Therapeutics,
Inc.
j
127,715
6,514
Mesa
Laboratories,
Inc.
i
1,659,507
2,102
Mettler-Toledo
International,
Inc.
j
2,030,006
1,082
Mirati
Therapeutics,
Inc.
j
179,666
12,264
Molina
Healthcare,
Inc.
j
2,244,803
25,196
MyoKardia,
Inc.
j
3,434,971
9,505
Myovant
Sciences,
Ltd.
j
133,545
76,948
Natera,
Inc.
j
5,558,724
19,418
National
Healthcare
Corporation
1,209,936
4,136
Nektar
Therapeutics
j
68,616
3,915
Neogen
Corporation
j
306,349
8,617
Neurocrine
Biosciences,
Inc.
j
828,611
55,364
Nevro
Corporation
j
7,712,205
72,842
Novo
Nordisk
AS
ADR
5,057,420
257,987
Optinose,
Inc.
j
1,006,149
7,293
Orthifix
Medical,
Inc.
j
227,104
9,004
PerkinElmer,
Inc.
1,130,092
2,440
Pfizer,
Inc.
89,548
40,925
PRA
Health
Sciences,
Inc.
j
4,151,432
4,367
Precision
BioSciences,
Inc.
j
26,901
7,048
Quest
Diagnostics,
Inc.
806,926
615
Quidel
Corporation
j
134,919
2,830
Reata
Pharmaceuticals,
Inc.
j
275,699
24,259
Repligen
Corporation
j
3,579,173
983
Replimune
Group,
Inc.
j
22,629
14,073
Retrophin,
Inc.
j
259,788
11,113
Sage
Therapeutics,
Inc.
j
679,227
9,098
Sarepta
Therapeutics,
Inc.
j
1,277,632
84,337
Silk
Road
Medical,
Inc.
j
5,668,290
23,411
Spectrum
Pharmaceuticals,
Inc.
j
95,517
1,126
STERIS
plc
198,390
41,139
Stryker
Corporation
8,572,133
1,770
Surmodics,
Inc.
j
68,871
66,992
Syneos
Health,
Inc.
j
3,561,295
144,322
Tactile
Systems
Technology,
Inc.
j
5,280,742
19,759
Teladoc
Health,
Inc.
i,j
4,331,963
19,675
Teleflex,
Inc.
6,697,763
14,263
Tenet
Healthcare
Corporation
j
349,586
31,778
Thermo
Fisher
Scientific,
Inc.
14,030,623
10,459
Tilray,
Inc.
i,j
50,726
4,216
U.S.
Physical
Therapy,
Inc.
366,286
2,492
uniQure
B.V.
j
91,780
3,661
United
Therapeutics
Corporation
j
369,761
14,983
UnitedHealth
Group,
Inc.
4,671,250
1,291
Universal
Health
Services,
Inc.
138,163
104,799
VBI
Vaccines,
Inc.
i,j
299,725
63,590
Veeva
Systems,
Inc.
j
17,880,872
32,898
Vertex
Pharmaceuticals,
Inc.
j
8,952,204
3,321
Viking
Therapeutics,
Inc.
j
19,328
4,164
Waters
Corporation
j
814,812
1,056
West
Pharmaceutical
Services,
Inc.
290,294
Shares
Common
Stock
(31.3%)
Value
Health
Care
(5.0%)
-
continued
994
Zimmer
Biomet
Holdings,
Inc.
$
135,323
100,671
Zoetis,
Inc.
16,647,963
24,409
Zymeworks,
Inc.
j
1,136,971
Total
330,984,549
Industrials
(3.9%)
3,082
3M
Company
493,675
55,791
A.O.
Smith
Corporation
2,945,765
1,548
Acuity
Brands,
Inc.
158,438
10,011
AECOM
j
418,860
12,220
Aegion
Corporation
j
172,669
75,998
Aerojet
Rocketdyne
Holdings,
Inc.
j
3,031,560
30,612
AGCO
Corporation
2,273,553
19,240
Allegion
plc
1,903,028
176,278
Altra
Industrial
Motion
Corporation
6,516,998
16,477
American
Airlines
Group,
Inc.
i
202,502
49,241
AMETEK,
Inc.
4,894,555
11,720
Arconic,
Inc.
195,958
132,612
ASGN,
Inc.
j
8,428,819
5,670
Avis
Budget
Group,
Inc.
j
149,234
50,366
AZZ,
Inc.
1,718,488
5,778
Bloom
Energy
Corporation
j
103,831
6,152
Boeing
Company
1,016,680
32,280
BWX
Technologies,
Inc.
1,817,687
5,162
Carlisle
Companies,
Inc.
631,674
7,371
Carrier
Global
Corporation
225,110
73,215
CBIZ,
Inc.
j
1,674,427
52,652
Chart
Industries,
Inc.
j
3,699,856
3,752
Cintas
Corporation
1,248,778
25,091
Copart,
Inc.
j
2,638,570
8,226
CRA
International,
Inc.
308,228
51,861
Crane
Company
2,599,792
30,107
CSW
Industrials,
Inc.
2,325,766
1,730
CSX
Corporation
134,369
76,808
Curtiss-Wright
Corporation
7,163,114
4,912
Delta
Air
Lines,
Inc.
150,209
7,647
Douglas
Dynamics,
Inc.
261,527
7,126
Eaton
Corporation
plc
727,066
42,146
EMCOR
Group,
Inc.
2,853,706
34,909
Emerson
Electric
Company
2,288,983
22,158
Encore
Wire
Corporation
1,028,574
18,050
Expeditors
International
of
Washington,
Inc.
1,633,886
243
Exponent,
Inc.
17,503
42,701
Fluor
Corporation
376,196
38,148
Forrester
Research,
Inc.
j
1,250,873
82,403
Forward
Air
Corporation
4,728,284
30,933
FuelCell
Energy,
Inc.
i,j
66,197
13,022
Generac
Holdings,
Inc.
j
2,521,580
16,762
General
Dynamics
Corporation
2,320,364
17,264
Gorman-Rupp
Company
508,597
1,579
Heico
Corporation
165,258
57,980
Helios
Technologies,
Inc.
2,110,472
65,229
Honeywell
International,
Inc.
10,737,346
21,982
Hubbell,
Inc.
3,008,017
6,741
ICF
International,
Inc.
414,774
47,613
IDEX
Corporation
8,685,087
8,376
Illinois
Tool
Works,
Inc.
1,618,327
4,266
JB
Hunt
Transport
Services,
Inc.
539,137
7,096
Johnson
Controls
International
plc
289,872
1,005
Kansas
City
Southern
181,734
258
L3Harris
Technologies,
Inc.
43,819
28,370
Landstar
System,
Inc.
3,560,151
14,202
Lennox
International,
Inc.
3,871,607
106,430
Lincoln
Electric
Holdings,
Inc.
9,795,817
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
236
Shares
Common
Stock
(31.3%)
Value
Industrials
(3.9%)
-
continued
9,324
Linde
Public
Limited
Company
$
2,220,324
23,142
Lockheed
Martin
Corporation
8,869,866
68,187
Manpower,
Inc.
5,000,153
5,655
Masonite
International
Corporation
j
556,452
56,797
Mercury
Systems,
Inc.
j
4,399,496
371,479
Meritor,
Inc.
j
7,778,770
82,522
Middleby
Corporation
j
7,403,049
11,440
MSC
Industrial
Direct
Company,
Inc.
723,923
33,754
NAPCO
Security
Technologies,
Inc.
j
793,219
12,083
Nordson
Corporation
2,317,761
29,445
Norfolk
Southern
Corporation
6,300,936
4,197
Nutrien,
Ltd.
164,648
24,658
Old
Dominion
Freight
Line,
Inc.
4,461,125
1,678
Otis
Worldwide
Corporation
104,741
11,026
Parker-Hannifin
Corporation
2,231,001
16,968
Quad/Graphics,
Inc.
51,413
133,744
Raven
Industries,
Inc.
2,878,171
3,365
Raytheon
Technologies
Corporation
193,622
23,876
Regal-Beloit
Corporation
2,241,240
2,353
Republic
Services,
Inc.
219,653
135,088
Ritchie
Brothers
Auctioneers,
Inc.
8,003,964
11,210
Rockwell
Automation,
Inc.
2,473,823
10,024
Roper
Industries,
Inc.
3,960,583
7,353
Ryder
System,
Inc.
310,591
49,435
Saia,
Inc.
j
6,235,731
14,476
Simpson
Manufacturing
Company,
Inc.
1,406,488
18,028
SiteOne
Landscape
Supply,
Inc.
j
2,198,515
6,211
Snap-On,
Inc.
913,824
90,454
Southwest
Airlines
Company
3,392,025
1,772
SP
Plus
Corporation
j
31,807
2,700
Spirit
Aerosystems
Holdings,
Inc.
51,057
6,253
Spirit
Airlines,
Inc.
j
100,673
4,645
SPX
FLOW,
Inc.
j
198,899
46,496
Standex
International
Corporation
2,752,563
152,113
Summit
Materials,
Inc.
j
2,515,949
6,448
Teledyne
Technologies,
Inc.
j
2,000,234
7,179
Thermon
Group
Holdings,
Inc.
j
80,620
3,589
Timken
Company
194,596
28,490
Toro
Company
2,391,735
76,418
Trex
Company,
Inc.
j
5,471,529
67,944
TriMas
Corporation
j
1,549,123
6,918
UniFirst
Corporation
1,310,062
11,568
Union
Pacific
Corporation
2,277,392
18,164
United
Airlines
Holdings,
Inc.
j
631,199
384
United
Parcel
Service,
Inc.
63,986
39,975
United
Rentals,
Inc.
j
6,975,637
35,657
Valmont
Industries,
Inc.
4,427,886
17,736
Verisk
Analytics,
Inc.
3,286,658
12,601
Waste
Connections,
Inc.
1,307,984
9,898
Watsco,
Inc.
2,305,145
115,294
Willdan
Group,
Inc.
j
2,941,150
13,212
XPO
Logistics,
Inc.
j
1,118,528
Total
256,636,466
Information
Technology
(8.9%)
16,577
Accenture
plc
3,746,236
41,533
Adobe,
Inc.
j
20,369,029
11,298
ADTRAN,
Inc.
115,861
25,288
Advanced
Energy
Industries,
Inc.
j
1,591,627
3,406
Advanced
Micro
Devices,
Inc.
j
279,258
102,212
Agilysys,
Inc.
j
2,469,442
2,530
Akamai
Technologies,
Inc.
j
279,666
Shares
Common
Stock
(31.3%)
Value
Information
Technology
(8.9%)
-
continued
21,458
Alliance
Data
Systems
Corporation
$
900,807
5,254
American
Software,
Inc.
73,766
76,684
Amphenol
Corporation
8,302,577
2,390
Analog
Devices,
Inc.
279,009
98,096
Anaplan,
Inc.
j
6,138,848
5,858
ANSYS,
Inc.
j
1,916,913
675,086
Apple,
Inc.
78,181,710
6,202
Aspen
Technology,
Inc.
j
785,111
16,849
Atlassian
Corporation
plc
j
3,062,980
3,173
Automatic
Data
Processing,
Inc.
442,602
45,146
Avalara,
Inc.
j
5,748,892
11,801
Avnet,
Inc.
304,938
33,146
Bandwidth,
Inc.
j
5,786,297
36,111
Benchmark
Electronics,
Inc.
727,637
70,173
Blackline,
Inc.
j
6,289,606
112
Broadcom,
Ltd.
40,804
11,440
Broadridge
Financial
Solutions,
Inc.
1,510,080
2,916
CACI
International,
Inc.
j
621,575
1,537
Cadence
Design
Systems,
Inc.
j
163,890
51,253
CDK
Global,
Inc.
2,234,118
62,705
CDW
Corporation
7,495,129
3,121
Ceridian
HCM
Holding,
Inc.
j
257,951
187,376
Change
Healthcare,
Inc.
j
2,718,826
50,260
Ciena
Corporation
j
1,994,819
45,518
Cisco
Systems,
Inc.
1,792,954
33,413
Cognex
Corporation
2,175,186
53,593
Computer
Services,
Inc.
3,322,766
29,722
Coupa
Software,
Inc.
j
8,150,961
15,714
Cree,
Inc.
j
1,001,610
21,814
CTS
Corporation
480,562
53,113
Descartes
Systems
Group,
Inc.
j
3,026,379
30,530
DocuSign,
Inc.
j
6,571,277
130,491
Dolby
Laboratories,
Inc.
8,648,943
4,503
Domo,
Inc.
j
172,600
7,265
Dropbox,
Inc.
j
139,924
6,439
DSP
Group,
Inc.
j
84,866
67,336
Elastic
NV
j
7,264,881
45,761
Endava
plc
ADR
j
2,889,807
5,628
EPAM
Systems,
Inc.
j
1,819,420
13,411
ePlus,
Inc.
j
981,685
59,395
Euronet
Worldwide,
Inc.
j
5,410,884
119,464
Eventbrite,
Inc.
i,j
1,296,184
20,592
ExlService
Holdings,
Inc.
j
1,358,454
5,152
eXp
World
Holdings,
Inc.
j
207,832
7,751
F5
Networks,
Inc.
j
951,590
4,878
Fair
Isaac
Corporation
j
2,075,004
46,225
Five9,
Inc.
j
5,994,458
2,791
FLIR
Systems,
Inc.
100,057
3,086
Gartner,
Inc.
j
385,596
33,713
Global
Payments,
Inc.
5,986,755
34,465
Guidewire
Software,
Inc.
j
3,593,666
55,755
Health
Catalyst,
Inc.
i,j
2,040,633
13,834
II-VI,
Inc.
j
561,107
25,305
Inphi
Corporation
j
2,840,486
5,333
Intel
Corporation
276,143
6,952
InterDigital,
Inc.
396,681
1,107
International
Business
Machines
Corporation
134,689
6,579
Intuit,
Inc.
2,146,136
5,669
Jack
Henry
&
Associates,
Inc.
921,723
26,408
Juniper
Networks,
Inc.
567,772
175
KLA-Tencor
Corporation
33,904
14,056
Lam
Research
Corporation
4,663,078
161,072
Lattice
Semiconductor
Corporation
j
4,664,645
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
237
Shares
Common
Stock
(31.3%)
Value
Information
Technology
(8.9%)
-
continued
14,633
Littelfuse,
Inc.
$
2,595,016
68,222
Lumentum
Holdings,
Inc.
j
5,125,519
4,846
Manhattan
Associates,
Inc.
j
462,745
8,606
ManTech
International
Corporation
592,781
99,042
MasterCard,
Inc.
33,493,033
5,507
MaxLinear,
Inc.
j
127,983
139,273
Medallia,
Inc.
i,j
3,818,866
2,091
Methode
Electronics,
Inc.
59,593
1,155
Microchip
Technology,
Inc.
118,688
335,882
Microsoft
Corporation
70,646,061
9,666
MicroStrategy,
Inc.
j
1,455,313
58,534
MKS
Instruments,
Inc.
6,393,669
53,508
Monolithic
Power
Systems,
Inc.
14,961,372
4,144
Motorola
Solutions,
Inc.
649,821
26,568
MTS
Systems
Corporation
507,714
85,331
National
Instruments
Corporation
3,046,317
844
NetApp,
Inc.
37,001
15,316
Nice,
Ltd.
ADR
i,j
3,477,191
34,458
Nova
Measuring
Instruments,
Ltd.
j
1,796,640
18,198
Novanta,
Inc.
j
1,916,977
86,370
Nuance
Communications,
Inc.
j
2,866,620
47,929
NVIDIA
Corporation
25,940,133
36,112
Oracle
Corporation
2,155,886
17,435
Palo
Alto
Networks,
Inc.
j
4,267,216
6,922
Paychex,
Inc.
552,168
147
Paylocity
Holding
Corporation
j
23,729
96,182
PayPal
Holdings,
Inc.
j
18,950,739
30,791
Plexus
Corporation
j
2,174,768
8,212
Progress
Software
Corporation
301,216
18,586
Proofpoint,
Inc.
j
1,961,752
35,425
Q2
Holdings,
Inc.
j
3,232,885
13,424
QAD,
Inc.
566,493
11,039
Qorvo,
Inc.
j
1,424,141
2,197
QUALCOMM,
Inc.
258,543
2,353
Qualys,
Inc.
j
230,618
18,382
Rogers
Corporation
j
1,802,539
96,079
SailPoint
Technologies
Holdings,
Inc.
j
3,801,846
26,241
Salesforce.com,
Inc.
j
6,594,888
200
Samsung
Electronics
Company,
Ltd.
GDR
253,585
16,658
ScanSource,
Inc.
j
330,328
7,639
Semtech
Corporation
j
404,561
49,026
ServiceNow,
Inc.
j
23,777,610
7,501
Silicon
Laboratories,
Inc.
j
733,973
495
Skyworks
Solutions,
Inc.
72,023
974
Solaredge
Technology,
Ltd.
j
232,153
87,769
Square,
Inc.
j
14,266,851
128,761
STMicroelectronics
NV
ADR
i
3,951,675
28,722
Synopsys,
Inc.
j
6,145,934
11,631
TE
Connectivity,
Ltd.
1,136,814
28,849
Texas
Instruments,
Inc.
4,119,349
492
Tyler
Technologies,
Inc.
j
171,492
11,209
VeriSign,
Inc.
j
2,296,164
179,029
Visa,
Inc.
35,800,429
626
VMware,
Inc.
i,j
89,937
14,501
WEX,
Inc.
j
2,015,204
78,639
Workiva,
Inc.
j
4,384,911
3,224
Zendesk,
Inc.
j
331,814
25,452
Zscaler,
Inc.
j
3,580,842
Total
592,445,431
Materials
(0.9%)
9,244
AdvanSix,
Inc.
j
119,063
1,526
Air
Products
and
Chemicals,
Inc.
454,534
16,918
AptarGroup,
Inc.
1,915,118
Shares
Common
Stock
(31.3%)
Value
Materials
(0.9%)
-
continued
7,765
Avery
Dennison
Corporation
$
992,678
5,497
Axalta
Coating
Systems,
Ltd.
j
121,868
966
Balchem
Corporation
94,311
2,959
Ball
Corporation
245,952
11,075
Cabot
Corporation
399,032
4,217
Carpenter
Technology
Corporation
76,581
4,604
Celanese
Corporation
494,700
5,366
CF
Industries
Holdings,
Inc.
164,790
42,498
Chemours
Company
888,633
43,610
Eastman
Chemical
Company
3,406,813
48,831
Ecolab,
Inc.
9,758,387
228,561
Element
Solutions,
Inc.
j
2,402,176
57,670
Ferroglobe
Representation
&
Warranty
Insurance
Trust
c,j
6
3,794
FMC
Corporation
401,822
8,747
Ingevity
Corporation
j
432,452
26,487
Innospec,
Inc.
1,677,157
537,106
Ivanhoe
Mines,
Ltd.
j
1,952,306
32,255
Kaiser
Aluminum
Corporation
1,728,545
4,093
Kraton
Performance
Polymers,
Inc.
j
72,937
243,054
Louisiana-Pacific
Corporation
7,172,523
22,583
Martin
Marietta
Materials,
Inc.
5,315,135
16,832
Materion
Corporation
875,769
15,389
Minerals
Technologies,
Inc.
786,378
43,699
Myers
Industries,
Inc.
578,138
25,697
Neenah,
Inc.
962,867
10,138
Nucor
Corporation
454,791
6,008
Olympic
Steel,
Inc.
68,251
11,501
PPG
Industries,
Inc.
1,404,042
23,422
Quaker
Chemical
Corporation
4,209,168
3,514
Reliance
Steel
&
Aluminum
Company
358,568
5,597
RPM
International,
Inc.
463,655
24,265
Ryerson
Holding
Corporation
j
139,038
4,770
Scotts
Miracle-Gro
Company
729,381
11,804
Sensient
Technologies
Corporation
681,563
2,596
Sherwin-Williams
Company
1,808,737
17,303
Steel
Dynamics,
Inc.
495,385
40,458
UFP
Technologies,
Inc.
j
1,675,770
30,123
United
States
Lime
&
Minerals,
Inc.
2,714,082
16,549
United
States
Steel
Corporation
121,470
53,286
W.
R.
Grace
&
Company
2,146,893
3,938
Worthington
Industries,
Inc.
160,592
Total
61,122,057
Real
Estate
(1.5%)
97,416
Agree
Realty
Corporation
6,199,554
817
Alexandria
Real
Estate
Equities,
Inc.
130,720
99,952
American
Campus
Communities,
Inc.
3,490,324
37,888
American
Tower
Corporation
9,158,666
27,997
Apartment
Investment
&
Management
Company
944,059
24,932
Armada
Hoffler
Properties,
Inc.
230,870
7,687
Ashford
Hospitality
Trust,
Inc.
12,684
729
AvalonBay
Communities,
Inc.
108,869
1,277
BBX
Capital
Corporation
17,099
496
Bluerock
Residential
Growth
REIT,
Inc.
3,760
36,832
Camden
Property
Trust
3,277,311
24,905
CareTrust
REIT,
Inc.
443,184
82,218
CBL
&
Associates
Properties,
Inc.
j
13,245
82,627
CBRE
Group,
Inc.
j
3,880,990
86,002
Cedar
Realty
Trust,
Inc.
69,662
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
238
Shares
Common
Stock
(31.3%)
Value
Real
Estate
(1.5%)
-
continued
39,127
Colliers
International
Group,
Inc.
$
2,609,380
15,248
Colony
Credit
Real
Estate,
Inc.
74,868
10,127
Columbia
Property
Trust,
Inc.
110,486
11,762
Community
Healthcare
Trust,
Inc.
549,991
11,629
Corepoint
Lodging,
Inc.
63,378
9,764
CoreSite
Realty
Corporation
1,160,744
7,779
CoStar
Group,
Inc.
j
6,600,559
137,153
Cushman
and
Wakefield
plc
j
1,441,478
107
CyrusOne,
Inc.
7,493
927
Digital
Realty
Trust,
Inc.
136,046
24,258
Diversified
Healthcare
Trust
85,388
4,238
Douglas
Emmett,
Inc.
106,374
4,149
Duke
Realty
Corporation
153,098
10,379
EastGroup
Properties,
Inc.
1,342,316
14,611
EPR
Properties
401,802
15,408
Equity
Lifestyle
Properties,
Inc.
944,510
113,215
Essential
Properties
Realty
Trust,
Inc.
2,074,099
5,210
Essex
Property
Trust,
Inc.
1,046,116
15,385
Farmland
Partners,
Inc.
102,464
99,447
First
Industrial
Realty
Trust,
Inc.
3,957,991
26,013
FirstService
Corporation
3,430,855
74,646
Four
Corners
Property
Trust,
Inc.
1,910,191
23,487
Gaming
and
Leisure
Properties,
Inc.
867,375
21,762
Getty
Realty
Corporation
566,030
11,009
Gladstone
Commercial
Corporation
185,502
1,361
Gladstone
Land
Corporation
20,442
9,144
Global
Medical
REIT,
Inc.
123,444
63,548
Healthcare
Realty
Trust,
Inc.
1,914,066
17,488
Host
Hotels
&
Resorts,
Inc.
188,696
34,440
Industrial
Logistics
Properties
Trust
753,203
7,227
Innovative
Industrial
Properties,
Inc.
896,943
6,861
Investors
Real
Estate
Trust
447,131
8,465
Jones
Lang
LaSalle,
Inc.
809,762
76,331
Kilroy
Realty
Corporation
3,966,159
3,981
Lamar
Advertising
Company
263,423
22,054
Lexington
Realty
Trust
230,464
121,425
Medical
Properties
Trust,
Inc.
2,140,723
4,371
MGM
Growth
Properties
LLC
122,301
3,132
National
Health
Investors,
Inc.
188,766
43,358
National
Retail
Properties,
Inc.
1,496,285
171,269
National
Storage
Affiliates
Trust
5,602,209
75,250
New
Residential
Investment
Corporation
598,237
24,023
New
Senior
Investment
Group,
Inc.
96,092
38,080
NexPoint
Residential
Trust,
Inc.
1,688,848
16,889
Omega
Healthcare
Investors,
Inc.
505,657
11,323
One
Liberty
Properties,
Inc.
185,244
12,572
Physicians
Realty
Trust
225,165
3,689
Plymouth
Industrial
REIT,
Inc.
45,522
9,534
PotlatchDeltic
Corporation
401,381
26,444
Preferred
Apartment
Communities,
Inc.
142,798
45,009
Rayonier,
Inc.
REIT
1,190,038
27,691
Realty
Income
Corporation
1,682,228
2,562
Retail
Properties
of
America,
Inc.
14,885
52,541
Rexford
Industrial
Realty,
Inc.
2,404,276
1,994
RMR
Group,
Inc.
54,775
69,548
Sabra
Health
Care
REIT,
Inc.
958,719
10,745
SBA
Communications
Corporation
3,422,068
141,276
Service
Properties
Trust
1,123,144
36,179
Spirit
Realty
Capital,
Inc.
1,221,041
28,527
STAG
Industrial,
Inc.
869,788
Shares
Common
Stock
(31.3%)
Value
Real
Estate
(1.5%)
-
continued
33,047
Store
Capital
Corporation
$
906,479
303,176
Sunstone
Hotel
Investors,
Inc.
2,407,217
19,187
Terreno
Realty
Corporation
1,050,680
17,328
UDR,
Inc.
565,066
12,590
UMH
Properties,
Inc.
170,469
42,233
Uniti
Group,
Inc.
444,925
575
Universal
Health
Realty
Income
Trust
32,769
14,013
WP
Carey,
Inc.
913,087
Total
100,394,146
Utilities
(0.2%)
4,078
ALLETE,
Inc.
210,996
2,482
Alliant
Energy
Corporation
128,195
15,417
Artesian
Resources
Corporation
531,424
8,474
Black
Hills
Corporation
453,274
6,860
CenterPoint
Energy,
Inc.
132,741
2,060
Chesapeake
Utilities
Corporation
173,658
2,077
CMS
Energy
Corporation
127,549
13,436
Consolidated
Water
Company,
Ltd.
139,869
4,886
DTE
Energy
Company
562,085
2,225
Duke
Energy
Corporation
197,046
3,170
Entergy
Corporation
312,340
3,678
Essential
Utilities,
Inc.
148,039
2,847
Exelon
Corporation
101,809
2,871
FirstEnergy
Corporation
82,426
9,102
Hawaiian
Electric
Industries,
Inc.
302,550
9,878
IDACORP,
Inc.
789,252
2,354
Middlesex
Water
Company
146,301
3,735
National
Fuel
Gas
Company
151,604
18,241
New
Jersey
Resources
Corporation
492,872
289
NextEra
Energy,
Inc.
80,215
2,101
Northwest
Natural
Holding
Company
95,364
22,066
NorthWestern
Corporation
1,073,290
15,243
OGE
Energy
Corporation
457,138
8,173
Otter
Tail
Corporation
295,617
36,550
PNM
Resources,
Inc.
1,510,612
28,872
Portland
General
Electric
Company
1,024,956
3,297
South
Jersey
Industries,
Inc.
63,533
6,216
Southwest
Gas
Holdings,
Inc.
392,230
22,863
Spire,
Inc.
1,216,312
21,789
UGI
Corporation
718,601
7,320
Unitil
Corporation
282,845
Total
12,394,743
Total
Common
Stock
(cost
$1,441,921,278)
2,071,427,620
Principal
Amount
Long-Term
Fixed
Income
(
16.8%
)
Value
Asset-Backed
Securities
(0.7%)
Access
Group,
Inc.
$
153,359
0.675%,
(LIBOR
1M
+
0.500%),
2/25/2036,
Ser.
2013-1,
Class
A
b,k
150,258
Aimco
1,000,000
1.578%,
(LIBOR
3M
+
1.320%),
7/22/2032,
Ser.
2019-10A,
Class
A
b,k
988,400
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
239
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Asset-Backed
Securities
(0.7%)
-
continued
Aimco
CLO,
Ltd.
$
1,625,000
1.628%,
(LIBOR
3M
+
1.380%),
10/15/2031,
Ser.
2020-11A,
Class
A1
b,e,k
$
1,625,000
Ares
CLO,
Ltd.
1,500,000
1.673%,
(LIBOR
3M
+
1.400%),
10/17/2030,
Ser.
2018-28RA,
Class
A2
b,k
1,483,584
Ares
XXXIIR
CLO,
Ltd.
750,000
1.220%,
(LIBOR
3M
+
0.940%),
5/15/2030,
Ser.
2014-32RA,
Class
A1A
b,k
737,760
Benefit
Street
Partners
CLO
IV,
Ltd.
1,000,000
2.022%,
(LIBOR
3M
+
1.750%),
1/20/2029,
Ser.
2014-IVA,
Class
A2RR
b,k
995,344
Buttermilk
Park
CLO,
Ltd.
2,575,000
1.675%,
(LIBOR
3M
+
1.400%),
10/15/2031,
Ser.
2018-1A,
Class
A2
b,k
2,541,007
Carlyle
Global
Market
Strategies
CLO,
Ltd.
1,675,000
1.725%,
(LIBOR
3M
+
1.450%),
7/15/2031,
Ser.
2014-5A,
Class
A2RR
b,k
1,632,795
Carvana
Auto
Receivables
Trust
100,000
2.340%,
6/15/2023,
Ser.
2019-3A,
Class
A3
k
100,956
CBAM,
Ltd.
1,600,000
1.555%,
(LIBOR
3M
+
1.280%),
2/12/2030,
Ser.
2019-9A,
Class
A
b,k
1,594,774
CIFC
Funding,
Ltd.
600,000
1.848%,
(LIBOR
3M
+
1.600%),
10/20/2031,
Ser.
2020-3A,
Class
A2
b,e,k
599,937
Colony
American
Finance
Trust
1,709,304
2.835%,
6/15/2052,
Ser.
2019-2,
Class
A
k
1,800,746
Commonbond
Student
Loan
Trust
289,092
0.648%,
(LIBOR
1M
+
0.500%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,k
284,755
CoreVest
American
Finance
Trust
1,976,093
2.705%,
10/15/2052,
Ser.
2019-3,
Class
A
k
2,049,200
Deephaven
Residential
Mortgage
Trust
594,449
4.080%,
10/25/2058,
Ser.
2018-4A,
Class
A1
b,k
598,432
DRB
Prime
Student
Loan
Trust
87,929
2.048%,
(LIBOR
1M
+
1.900%),
10/27/2031,
Ser.
2015-B,
Class
A1
b,k
88,247
Dryden
Senior
Loan
Fund
1,450,000
1.672%,
(LIBOR
3M
+
1.400%),
7/18/2030,
Ser.
2018-65A,
Class
A2
b,k
1,434,774
Earnest
Student
Loan
Program,
LLC
411,382
3.020%,
5/25/2034,
Ser.
2016-B,
Class
A2
k
414,924
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Asset-Backed
Securities
(0.7%)
-
continued
ECMC
Group
Student
Loan
Trust
$
1,200,000
1.510%,
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
b,k
$
1,199,999
Galaxy
XX
CLO,
Ltd.
1,200,000
1.272%,
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-20A,
Class
AR
b,k
1,182,310
Golub
Capital
Partners,
Ltd.
750,000
1.452%,
(LIBOR
3M
+
1.180%),
1/20/2031,
Ser.
2015-22A,
Class
AR
b,k
734,120
1,095,000
1.472%,
(LIBOR
3M
+
1.200%),
1/20/2031,
Ser.
2015-23A,
Class
AR
b,k
1,071,264
Goodgreen
1,254,191
3.860%,
10/15/2054,
Ser.
2019-1A,
Class
A
k
1,327,934
Home
Partners
of
America
Trust
1,905,306
2.908%,
9/17/2039,
Ser.
2019-1,
Class
A
k
1,977,898
1,886,486
2.703%,
10/19/2039,
Ser.
2019-2,
Class
A
k
1,989,769
Laurel
Road
Prime
Student
Loan
Trust
426,943
2.810%,
11/25/2042,
Ser.
2017-C,
Class
A2B
k
437,865
703,299
5.600%,
11/25/2043,
Ser.
2018-D,
Class
A
b,k
731,752
Madison
Park
Funding
XIV,
Ltd.
1,200,000
1.658%,
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,k
1,174,800
Magnetite
XII,
Ltd.
1,200,000
1.375%,
(LIBOR
3M
+
1.100%),
10/15/2031,
Ser.
2015-12A,
Class
ARR
b,k
1,186,920
Mountain
View
CLO,
Ltd.
850,000
1.395%,
(LIBOR
3M
+
1.120%),
7/15/2031,
Ser.
2015-9A,
Class
A1R
b,k
828,375
National
Collegiate
Trust
555,181
0.443%,
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,k
538,730
Neuberger
Berman
CLO
XIV,
Ltd.
1,250,000
1.277%,
(LIBOR
3M
+
1.030%),
1/28/2030,
Ser.
2013-14A,
Class
AR2
b,k
1,237,510
Neuberger
Berman
CLO,
Ltd.
500,000
1.288%,
(LIBOR
3M
+
1.030%),
4/22/2029,
Ser.
2014-17A,
Class
AR2
b,k
495,210
Octagon
Investment
Partners
XVI,
Ltd.
250,000
1.673%,
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2013-1A,
Class
A2R
b,k
245,493
OneMain
Financial
Issuance
Trust
1,325,000
3.840%,
5/14/2032,
Ser.
2020-1A,
Class
A
k
1,393,492
OZLM
VIII,
Ltd.
382,107
1.443%,
(LIBOR
3M
+
1.170%),
10/17/2029,
Ser.
2014-8A,
Class
A1RR
b,k
377,854
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
240
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Asset-Backed
Securities
(0.7%)
-
continued
Palmer
Square
Loan
Funding,
Ltd.
$
1,280,775
1.122%,
(LIBOR
3M
+
0.850%),
1/20/2027,
Ser.
2018-5A,
Class
A1
b,k
$
1,272,076
850,000
1.922%,
(LIBOR
3M
+
1.650%),
4/20/2027,
Ser.
2019-1A,
Class
A2
b,k
849,680
PPM
CLO
3,
Ltd.
750,000
1.673%,
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2019-3A,
Class
A
b,k
743,099
Pretium
Mortgage
Credit
Partners,
LLC
1,020,198
3.721%,
2/27/2060,
Ser.
2020-NPL2,
Class
A1
k,l
1,021,796
Progress
Residential
Trust
1,998,027
3.422%,
8/17/2035,
Ser.
2019-SFR1,
Class
A
k
2,065,845
Saxon
Asset
Securities
Trust
430,017
3.639%,
8/25/2035,
Ser.
2004-2,
Class
MF2
b
434,321
Shackleton
CLO,
Ltd.
800,000
1.445%,
(LIBOR
3M
+
1.170%),
7/15/2031,
Ser.
2015-7RA,
Class
A1
b,k
786,381
THL
Credit
Wind
River
CLO,
Ltd.
500,000
1.652%,
(LIBOR
3M
+
1.430%),
10/20/2033,
Ser.
2020-1A,
Class
A
b,e,k
500,000
U.S.
Small
Business
Administration
130,212
3.191%,
3/10/2024,
Ser.
2014-10A,
Class
1
134,628
Voya
CLO,
Ltd.
748,830
1.475%,
(LIBOR
3M
+
1.200%),
10/15/2030,
Ser.
2012-4A,
Class
A1AR
b,k
738,306
Whitebox
CLO
II,
Ltd.
650,000
2.492%,
(LIBOR
3M
+
2.250%),
10/24/2031,
Ser.
2020-2A,
Class
B
b,k
650,129
Total
46,448,449
Basic
Materials
(0.2%)
Air
Products
and
Chemicals,
Inc.
650,000
2.700%,
5/15/2040
690,877
Alcoa
Nederland
Holding
BV
300,000
5.500%,
12/15/2027
k
312,660
Anglo
American
Capital
plc
470,000
4.875%,
5/14/2025
k
535,229
BWAY
Holding
Company
270,000
5.500%,
4/15/2024
k
270,956
Cleveland-Cliffs,
Inc.
215,000
5.750%,
3/1/2025
i
199,950
180,000
9.875%,
10/17/2025
k
200,925
DowDuPont,
Inc.
700,000
4.493%,
11/15/2025
804,935
EI
du
Pont
de
Nemours
&
Company
375,000
2.300%,
7/15/2030
397,570
First
Quantum
Minerals,
Ltd.
410,000
7.500%,
4/1/2025
k
405,535
Freeport-McMoRan,
Inc.
280,000
4.125%,
3/1/2028
283,500
310,000
4.250%,
3/1/2030
317,750
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Basic
Materials
(0.2%)
-
continued
Glencore
Funding,
LLC
$
224,000
4.125%,
5/30/2023
k
$
240,148
300,000
4.000%,
3/27/2027
k
327,446
International
Paper
Company
600,000
4.350%,
8/15/2048
732,820
Kinross
Gold
Corporation
7,000
5.125%,
9/1/2021
7,203
218,000
5.950%,
3/15/2024
248,592
345,000
4.500%,
7/15/2027
391,112
Krayton
Polymers,
LLC
380,000
7.000%,
4/15/2025
k
387,600
Methanex
Corporation
440,000
5.250%,
12/15/2029
435,050
Norbord,
Inc.
420,000
5.750%,
7/15/2027
k
443,646
Novelis
Corporation
485,000
5.875%,
9/30/2026
k
498,337
130,000
4.750%,
1/30/2030
k
126,876
OCI
NV
320,000
4.625%,
10/15/2025
e,k
320,000
Olin
Corporation
495,000
5.125%,
9/15/2027
490,050
Peabody
Securities
Finance
Corporation
405,000
6.375%,
3/31/2025
k
162,000
Sherwin-Williams
Company
540,000
3.125%,
6/1/2024
i
583,455
Syngenta
Finance
NV
525,000
3.933%,
4/23/2021
k
531,770
Teck
Resources,
Ltd.
839,000
6.125%,
10/1/2035
1,002,096
Tronox
Finance
plc
450,000
5.750%,
10/1/2025
k
443,250
Vale
Overseas,
Ltd.
340,000
6.250%,
8/10/2026
402,050
168,000
6.875%,
11/21/2036
218,190
WestRock
Company
470,000
3.750%,
3/15/2025
525,274
Xstrata
Finance
Canada,
Ltd.
10,000
4.950%,
11/15/2021
k
10,439
Total
12,947,291
Capital
Goods
(0.3%)
AECOM
770,000
5.125%,
3/15/2027
831,692
Amsted
Industries,
Inc.
555,000
5.625%,
7/1/2027
k
590,420
Ardagh
Packaging
Finance
plc
210,000
6.000%,
2/15/2025
k
218,043
300,000
5.250%,
8/15/2027
k
305,700
BAE
Systems
plc
800,000
1.900%,
2/15/2031
k
791,763
Carrier
Global
Corporation
500,000
2.700%,
2/15/2031
k
520,536
Cintas
Corporation
No.
2
10,000
2.900%,
4/1/2022
10,344
345,000
3.700%,
4/1/2027
397,538
CNH
Industrial
Capital,
LLC
480,000
4.875%,
4/1/2021
489,262
CNH
Industrial
NV
300,000
3.850%,
11/15/2027
324,171
Covanta
Holding
Corporation
390,000
6.000%,
1/1/2027
405,600
80,000
5.000%,
9/1/2030
80,744
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
241
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Capital
Goods
(0.3%)
-
continued
Crown
Americas
Capital
Corporation
IV
$
720,000
4.500%,
1/15/2023
$
747,000
Emerson
Electric
Company
650,000
1.800%,
10/15/2027
677,749
H&E
Equipment
Services,
Inc.
370,000
5.625%,
9/1/2025
385,725
Ingersoll-Rand
Luxembourg
Finance
SA
650,000
3.500%,
3/21/2026
726,950
Jeld-Wen,
Inc.
280,000
4.625%,
12/15/2025
k
281,400
L3Harris
Technologies,
Inc.
705,000
3.950%,
5/28/2024
776,526
Lockheed
Martin
Corporation
230,000
3.600%,
3/1/2035
275,831
448,000
4.500%,
5/15/2036
568,696
120,000
6.150%,
9/1/2036
177,646
Northrop
Grumman
Corporation
820,000
3.850%,
4/15/2045
956,619
Republic
Services,
Inc.
335,000
2.900%,
7/1/2026
370,383
Reynolds
Group
Issuer,
Inc.
820,000
5.125%,
7/15/2023
k
830,250
Roper
Technologies,
Inc.
400,000
1.400%,
9/15/2027
403,838
240,000
4.200%,
9/15/2028
286,339
400,000
1.750%,
2/15/2031
399,002
Siemens
Financieringsmaatschappij
NV
682,000
4.200%,
3/16/2047
k
888,447
Standard
Industries,
Inc.
550,000
4.375%,
7/15/2030
k
563,896
Textron,
Inc.
720,000
3.375%,
3/1/2028
777,025
TransDigm,
Inc.
210,000
6.250%,
3/15/2026
k
220,195
600,000
5.500%,
11/15/2027
576,630
United
Rentals
North
America,
Inc.
805,000
4.000%,
7/15/2030
823,112
United
Technologies
Corporation
375,000
4.450%,
11/16/2038
461,011
600,000
3.750%,
11/1/2046
685,753
WESCO
Distribution,
Inc.
120,000
7.250%,
6/15/2028
k
131,481
Total
17,957,317
Collateralized
Mortgage
Obligations
(0.6%)
Ajax
Mortgage
Loan
Trust
1,314,935
4.360%,
9/25/2065,
Ser.
2018-C,
Class
A
b,k
1,336,265
Angel
Oak
Mortgage
Trust
I,
LLC
462,255
3.500%,
7/25/2046,
Ser.
2016-1,
Class
A1
k
480,573
Banc
of
America
Alternative
Loan
Trust
23,364
6.000%,
11/25/2035,
Ser.
2005-10,
Class
3CB1
22,322
Bellemeade
Re,
Ltd.
224,019
1.748%,
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,k
221,815
314,001
1.248%,
(LIBOR
1M
+
1.100%),
7/25/2029,
Ser.
2019-3A,
Class
M1A
b,k
313,369
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Collateralized
Mortgage
Obligations
(0.6%)
-
continued
$
1,300,000
2.798%,
(LIBOR
1M
+
2.650%),
6/25/2030,
Ser.
2020-1A,
Class
M1A
b,k
$
1,302,672
BRAVO
Residential
Funding
Trust
251,835
3.500%,
3/25/2058,
Ser.
2019-1,
Class
A1C
k
260,030
Citicorp
Mortgage
Securities,
Inc.
1,053,622
6.000%,
7/25/2037,
Ser.
2007-6,
Class
1A4
1,032,114
Citigroup
Mortgage
Loan
Trust,
Inc.
182,367
5.500%,
11/25/2035,
Ser.
2005-9,
Class
21A2
186,768
8,006
3.736%,
3/25/2037,
Ser.
2007-AR4,
Class
2A1A
b
6,922
Countrywide
Alternative
Loan
Trust
221,700
3.201%,
10/25/2035,
Ser.
2005-43,
Class
4A1
b
210,864
271,426
6.500%,
8/25/2036,
Ser.
2006-23CB,
Class
2A3
151,887
685,218
7.000%,
10/25/2037,
Ser.
2007-24,
Class
A10
385,481
Countrywide
Home
Loans,
Inc.
219,293
5.750%,
4/25/2037,
Ser.
2007-3,
Class
A27
163,102
Credit
Suisse
First
Boston
Mortgage
Securities
Corporation
17,075
5.250%,
10/25/2035,
Ser.
2005-9,
Class
1A3
17,096
Credit
Suisse
Mortgage
Capital
Certificates
822,335
3.393%,
2/25/2024,
Ser.
2020-BPL1,
Class
A1
k,l
822,685
Credit
Suisse
Mortgage
Trust
900,000
3.453%,
3/25/2026,
Ser.
2020-BPL2,
Class
A1
b,c,k
900,000
1,422,508
3.850%,
9/25/2057,
Ser.
2018-RPL9,
Class
A1
b,k
1,527,475
2,906,902
3.507%,
2/25/2060,
Ser.
2020-RPL2,
Class
A12
b,k
2,908,351
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
93,958
6.000%,
10/25/2021,
Ser.
2006-AR5,
Class
23A
82,648
Ellington
Financial
Mortgage
Trust
833,554
4.140%,
10/25/2058,
Ser.
2018-1,
Class
A1FX
b,k
854,481
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
699,210
4.000%,
7/15/2031,
Ser.
4104,
Class
KI
m
41,446
649,033
3.000%,
2/15/2033,
Ser.
4170,
Class
IG
m
62,254
1,425,203
3.000%,
3/15/2033,
Ser.
4180,
Class
PI
m
143,677
Federal
National
Mortgage
Association
-
REMIC
2,204,270
3.000%,
12/25/2027,
Ser.
2012-137,
Class
AI
m
132,814
FWD
Securitization
Trust
1,140,132
2.810%,
6/25/2049,
Ser.
2019-INV1,
Class
A1
b,k
1,166,560
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
242
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Collateralized
Mortgage
Obligations
(0.6%)
-
continued
Galton
Funding
Mortgage
Trust
2017-1
$
647,081
4.500%,
10/25/2058,
Ser.
2018-2,
Class
A41
b,k
$
661,305
GS
Mortgage-Backed
Securities
Trust
1,288,698
2.625%,
1/25/2059,
Ser.
2019-SL1,
Class
A1
b,k
1,310,731
J.P.
Morgan
Alternative
Loan
Trust
80,659
6.500%,
3/25/2036,
Ser.
2006-S1,
Class
1A19
65,476
MASTR
Alternative
Loans
Trust
444,255
0.598%,
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
b
75,301
Merrill
Lynch
Alternative
Note
Asset
Trust
181,624
6.000%,
3/25/2037,
Ser.
2007-F1,
Class
2A1
120,709
MFRA
Trust
742,658
4.164%,
7/25/2048,
Ser.
2018-NPL2,
Class
A1
k,l
743,656
New
Residential
Mortgage
Loan
Trust
969,545
4.335%,
7/25/2060,
Ser.
2020-NPL1,
Class
A1
k,l
970,705
Preston
Ridge
Partners
Mortgage
Trust,
LLC
800,000
2.857%,
9/25/2025,
Ser.
2020-3A1
e,l
799,987
878,980
4.500%,
1/25/2024,
Ser.
2019-1A,
Class
A1
k,l
885,715
1,039,531
3.500%,
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,k
1,040,879
RCO
Mortgage,
LLC
1,720,747
3.475%,
11/25/2024,
Ser.
2019-2,
Class
A1
k,l
1,716,773
1,253,151
4.270%,
12/26/2053,
Ser.
2018-VFS1,
Class
A1
b,k
1,317,629
Renaissance
Home
Equity
Loan
Trust
1,118,614
5.580%,
11/25/2036,
Ser.
2006-3,
Class
AF2
l
618,974
Residential
Accredit
Loans,
Inc.
Trust
430,064
6.000%,
8/25/2035,
Ser.
2005-QS10,
Class
2A
430,461
29,754
5.750%,
9/25/2035,
Ser.
2005-QS13,
Class
2A3
29,732
Residential
Funding
Mortgage
Security
I
Trust
95,931
6.000%,
7/25/2037,
Ser.
2007-S7,
Class
A20
89,861
Sequoia
Mortgage
Trust
301,809
3.426%,
9/20/2046,
Ser.
2007-1,
Class
4A1
b
233,118
Silver
Hill
Trust
572,982
3.102%,
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,k
582,321
Starwood
Mortgage
Residential
Trust
432,316
2.718%,
4/25/2060,
Ser.
2020-2,
Class
A1
b,k
434,019
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Collateralized
Mortgage
Obligations
(0.6%)
-
continued
Structured
Adjustable
Rate
Mortgage
Loan
Trust
$
38,909
3.678%,
9/25/2035,
Ser.
2005-18,
Class
1A1
b
$
31,298
Structured
Asset
Mortgage
Investments,
Inc.
52,178
0.458%,
(LIBOR
1M
+
0.310%),
12/25/2035,
Ser.
2005-AR4,
Class
A1
b
48,465
Toorak
Mortgage
Corporation
1,050,000
4.458%,
3/25/2022,
Ser.
2019-1,
Class
A1
k,l
1,074,317
4,000,000
3.721%,
9/25/2022,
Ser.
2019-2,
Class
A1
4,075,522
750,000
2.734%,
3/25/2023,
Ser.
2020-1,
Class
A1
k,l
752,637
Vericrest
Opportunity
Loan
Transferee
936,094
3.352%,
8/25/2049,
Ser.
2019-NPL4,
Class
A1A
k,l
937,026
Verus
Securitization
Trust
175,865
2.853%,
1/25/2047,
Ser.
2017-1A,
Class
A1
b,k
176,179
188,360
3.836%,
2/25/2059,
Ser.
2019-1,
Class
A1
b,k
190,918
143,069
3.211%,
5/25/2059,
Ser.
2019-2,
Class
A1
b,k
146,288
338,936
3.345%,
5/25/2059,
Ser.
2019-2,
Class
A2
b,k
345,522
1,258,898
2.913%,
7/25/2059,
Ser.
2019-INV2,
Class
A1
b,k
1,287,520
758,445
2.947%,
11/25/2059,
Ser.
2019-INV3,
Class
A2
b,k
772,039
661,707
1.977%,
3/25/2060,
Ser.
2020-INV1,
Class
A1
b,k
668,904
2,460,152
3.626%,
4/25/2060,
Ser.
2020-3,
Class
A1
b,k
2,525,057
785,843
2.226%,
5/25/2060,
Ser.
2020-2,
Class
A1
b,k
793,176
WaMu
Mortgage
Pass
Through
Certificates
84,966
3.309%,
9/25/2036,
Ser.
2006-AR10,
Class
1A2
b
79,993
202,866
3.671%,
10/25/2036,
Ser.
2006-AR12,
Class
1A1
b
195,934
Total
40,961,818
Commercial
Mortgage-Backed
Securities
(0.1%)
BFLD
Trust
1,100,000
1.350%,
(LIBOR
1M
+
1.150%),
10/15/2022,
Ser.
2020-EYP,
Class
A
b,e,k
1,100,000
400,000
1.800%,
(LIBOR
1M
+
1.700%),
10/15/2022,
Ser.
2020-EYP,
Class
B
b,e,k
400,000
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
736,865
3.000%,
3/15/2045,
Ser.
4741,
Class
GA
762,895
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
243
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Commercial
Mortgage-Backed
Securities
(0.1%)
-
continued
Federal
National
Mortgage
Association
-
ACES
$
10,998,917
1.895%,
12/25/2028,
Ser.
2020-M11,
Class
IO
b,m
$
1,300,211
GS
Mortgage
Securities
Trust
2,450,000
3.666%,
9/10/2047,
Ser.
2014-GC24,
Class
A4
2,649,326
Morgan
Stanley
Capital
I
Trust
7,197,500
1.973%,
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,m
1,074,998
UBS
Commercial
Mortgage
Trust
1,350,000
2.921%,
10/15/2052,
Ser.
2019-C17,
Class
A4
1,484,985
Total
8,772,415
Communications
Services
(0.6%)
Altice
France
SA
230,000
5.500%,
1/15/2028
k
232,875
American
Tower
Corporation
525,000
2.900%,
1/15/2030
566,666
625,000
2.100%,
6/15/2030
631,059
AT&T,
Inc.
451,000
3.500%,
9/15/2053
k
439,380
600,000
2.300%,
6/1/2027
629,395
750,000
4.350%,
3/1/2029
880,320
281,000
4.300%,
2/15/2030
332,690
480,000
5.250%,
3/1/2037
600,621
700,000
4.900%,
8/15/2037
844,616
355,000
5.550%,
8/15/2041
460,149
900,000
3.100%,
2/1/2043
878,002
British
Telecommunications
plc
700,000
4.500%,
12/4/2023
774,550
CCO
Holdings,
LLC
600,000
5.500%,
5/1/2026
k
625,500
380,000
5.125%,
5/1/2027
k
399,844
900,000
4.750%,
3/1/2030
k
952,875
70,000
4.250%,
2/1/2031
k
72,513
CCOH
Safari,
LLC
30,000
5.750%,
2/15/2026
k
31,200
Charter
Communications
Operating,
LLC
217,000
6.834%,
10/23/2055
299,924
300,000
4.500%,
2/1/2024
332,597
595,000
4.200%,
3/15/2028
675,627
1,410,000
6.484%,
10/23/2045
1,879,547
Comcast
Corporation
625,000
4.950%,
10/15/2058
894,628
370,000
4.049%,
11/1/2052
453,293
420,000
3.950%,
10/15/2025
481,643
725,000
4.250%,
10/15/2030
889,934
960,000
4.400%,
8/15/2035
1,214,118
490,000
4.750%,
3/1/2044
642,895
250,000
4.600%,
8/15/2045
321,847
Cox
Communications,
Inc.
600,000
3.350%,
9/15/2026
k
667,053
Crown
Castle
International
Corporation
336,000
5.250%,
1/15/2023
369,185
480,000
3.200%,
9/1/2024
517,581
CSC
Holdings,
LLC
220,000
5.500%,
5/15/2026
k
228,800
230,000
4.125%,
12/1/2030
k
234,427
790,000
4.625%,
12/1/2030
k
793,737
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Communications
Services
(0.6%)
-
continued
Discovery
Communications,
LLC
$
600,000
4.900%,
3/11/2026
$
700,913
Embarq
Corporation
400,000
7.995%,
6/1/2036
473,624
Entercom
Media
Corporation
200,000
6.500%,
5/1/2027
k
174,000
Fox
Corporation
400,000
3.500%,
4/8/2030
450,795
Front
Range
BidCo,
Inc.
510,000
4.000%,
3/1/2027
k
501,955
GCI,
LLC
220,000
4.750%,
10/15/2028
e,k
222,752
Gray
Television,
Inc.
395,000
5.875%,
7/15/2026
k
409,812
iHeartCommunications,
Inc.
250,000
4.750%,
1/15/2028
k
235,612
Level
3
Financing,
Inc.
500,000
4.625%,
9/15/2027
k
513,750
420,000
4.250%,
7/1/2028
k
426,434
Netflix,
Inc.
705,000
4.875%,
4/15/2028
787,837
Nexstar
Escrow
Corporation
320,000
5.625%,
7/15/2027
k
335,664
Nielsen
Finance,
LLC
100,000
5.625%,
10/1/2028
k
102,750
Omnicom
Group,
Inc.
224,000
3.600%,
4/15/2026
252,499
200,000
4.200%,
6/1/2030
233,982
SBA
Communications
Corporation
240,000
3.875%,
2/15/2027
k
243,600
SFR
Group
SA
540,000
7.375%,
5/1/2026
k
565,866
Sirius
XM
Radio,
Inc.
780,000
5.000%,
8/1/2027
k
814,765
Sprint
Capital
Corporation
320,000
6.875%,
11/15/2028
398,507
160,000
8.750%,
3/15/2032
234,210
Sprint
Corporation
510,000
7.250%,
9/15/2021
533,587
695,000
7.625%,
2/15/2025
813,150
Telefonica
Emisiones
SAU
250,000
4.570%,
4/27/2023
273,924
Telesat
Canada
/
Telesat,
LLC
260,000
4.875%,
6/1/2027
k
261,053
Time
Warner
Entertainment
Company,
LP
459,000
8.375%,
3/15/2023
539,383
T-Mobile
USA,
Inc.
780,000
4.500%,
2/1/2026
803,712
650,000
3.750%,
4/15/2027
k
727,701
525,000
4.375%,
4/15/2040
k
615,389
Univision
Communications,
Inc.
410,000
6.625%,
6/1/2027
k
400,262
Verizon
Communications,
Inc.
874,000
3.376%,
2/15/2025
973,157
1,594,000
4.272%,
1/15/2036
1,963,259
Viacom,
Inc.
336,000
5.850%,
9/1/2043
420,981
Virgin
Media
Secured
Finance
plc
635,000
5.500%,
8/15/2026
k
661,987
Vodafone
Group
plc
800,000
4.875%,
6/19/2049
991,839
VTR
Finance
BV
150,000
6.375%,
N/A
k
157,500
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
244
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Communications
Services
(0.6%)
-
continued
Walt
Disney
Company
$
550,000
2.200%,
1/13/2028
$
578,214
775,000
2.650%,
1/13/2031
834,311
675,000
3.500%,
5/13/2040
755,990
Windstream
Services,
LLC
330,000
8.625%,
10/31/2025
*,f
198,000
Ziggo
BV
342,000
5.500%,
1/15/2027
k
358,245
Total
41,190,062
Consumer
Cyclical
(0.5%)
1011778
B.C.,
ULC
760,000
4.375%,
1/15/2028
k
775,048
Allied
Universal
Holdco,
LLC
240,000
6.625%,
7/15/2026
k
255,600
Allison
Transmission,
Inc.
545,000
5.000%,
10/1/2024
k
550,483
Amazon.com,
Inc.
125,000
1.500%,
6/3/2030
127,618
600,000
3.875%,
8/22/2037
746,079
360,000
4.050%,
8/22/2047
465,301
American
Honda
Finance
Corporation
250,000
2.150%,
9/10/2024
263,029
Brookfield
Property
REIT,
Inc.
130,000
5.750%,
5/15/2026
k
102,449
Brookfield
Residential
Properties,
Inc.
810,000
6.250%,
9/15/2027
k
816,824
Carnival
Corporation
160,000
11.500%,
4/1/2023
k
179,357
160,000
10.500%,
2/1/2026
k
177,200
Cedar
Fair,
LP
290,000
5.250%,
7/15/2029
275,320
Colt
Merger
Sub,
Inc.
500,000
6.250%,
7/1/2025
k
521,250
CVS
Health
Corporation
600,000
3.625%,
4/1/2027
673,807
D.R.
Horton,
Inc.
534,000
2.550%,
12/1/2020
535,806
650,000
2.600%,
10/15/2025
696,923
Dana,
Inc.
320,000
5.625%,
6/15/2028
330,400
Ford
Motor
Company
140,000
9.000%,
4/22/2025
160,511
80,000
9.625%,
4/22/2030
103,300
290,000
7.450%,
7/16/2031
332,575
Ford
Motor
Credit
Company,
LLC
820,000
4.063%,
11/1/2024
818,975
400,000
4.134%,
8/4/2025
396,166
General
Motors
Company
650,000
6.125%,
10/1/2025
754,924
600,000
6.800%,
10/1/2027
729,164
General
Motors
Financial
Company,
Inc.
10,000
4.375%,
9/25/2021
10,317
531,000
3.150%,
6/30/2022
545,435
224,000
3.950%,
4/13/2024
236,968
Hanesbrands,
Inc.
580,000
4.875%,
5/15/2026
k
619,150
Herc
Holdings,
Inc.
210,000
5.500%,
7/15/2027
k
217,276
Hilton
Domestic
Operating
Company,
Inc.
770,000
4.875%,
1/15/2030
793,100
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Consumer
Cyclical
(0.5%)
-
continued
Home
Depot,
Inc.
$
575,000
5.400%,
9/15/2040
$
813,603
336,000
4.250%,
4/1/2046
427,353
440,000
3.900%,
6/15/2047
542,036
Hyundai
Capital
America
400,000
1.250%,
9/18/2023
k
399,077
International
Game
Technology
plc
330,000
5.250%,
1/15/2029
k
333,713
KB
Home
270,000
4.800%,
11/15/2029
297,675
L
Brands,
Inc.
200,000
6.625%,
10/1/2030
k
203,500
Landry's,
Inc.
275,000
6.750%,
10/15/2024
k
229,625
Lennar
Corporation
9,000
2.950%,
11/29/2020
9,000
350,000
4.125%,
1/15/2022
357,875
50,000
4.750%,
11/15/2022
52,125
1,000,000
4.875%,
12/15/2023
1,075,125
Mastercard,
Inc.
600,000
3.300%,
3/26/2027
685,901
700,000
3.950%,
2/26/2048
889,003
Mattamy
Group
Corporation
670,000
5.250%,
12/15/2027
k
688,425
McDonald's
Corporation
335,000
2.750%,
12/9/2020
335,822
600,000
2.125%,
3/1/2030
623,899
575,000
4.450%,
3/1/2047
712,620
MGM
Resorts
International
625,000
6.000%,
3/15/2023
648,378
20,000
5.750%,
6/15/2025
20,976
Norwegian
Cruise
Line
Holdings,
Ltd.
160,000
10.250%,
2/1/2026
k
166,700
Prime
Security
Services
Borrower,
LLC
630,000
5.750%,
4/15/2026
k
673,709
120,000
3.375%,
8/31/2027
k
115,350
Royal
Caribbean
Cruises,
Ltd.
170,000
9.125%,
6/15/2023
k
180,200
120,000
11.500%,
6/1/2025
k
139,470
Scientific
Games
International,
Inc.
380,000
5.000%,
10/15/2025
k
382,375
ServiceMaster
Company,
LLC
560,000
5.125%,
11/15/2024
k
572,600
Six
Flags
Entertainment
Corporation
240,000
5.500%,
4/15/2027
i,k
227,592
Six
Flags
Theme
Parks,
Inc.
150,000
7.000%,
7/1/2025
k
159,563
Staples,
Inc.
420,000
7.500%,
4/15/2026
k
387,013
Target
Corporation
575,000
2.250%,
4/15/2025
613,881
TJX
Companies,
Inc.
300,000
3.750%,
4/15/2027
343,748
400,000
3.875%,
4/15/2030
474,088
ViacomCBS,
Inc.
550,000
4.200%,
5/19/2032
627,808
Visa,
Inc.
650,000
2.700%,
4/15/2040
701,748
Volkswagen
Group
of
America
Finance,
LLC
460,000
4.250%,
11/13/2023
k
505,401
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
245
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Consumer
Cyclical
(0.5%)
-
continued
Walmart,
Inc.
$
600,000
3.250%,
7/8/2029
$
699,080
Wyndham
Destinations,
Inc.
200,000
6.625%,
7/31/2026
k
209,522
Wyndham
Hotels
&
Resorts,
Inc.
120,000
4.375%,
8/15/2028
k
116,400
Yum!
Brands,
Inc.
550,000
4.750%,
1/15/2030
k
592,625
Total
30,444,959
Consumer
Non-Cyclical
(0.7%)
Abbott
Laboratories
184,000
3.400%,
11/30/2023
199,908
941,000
4.750%,
11/30/2036
1,257,655
AbbVie,
Inc.
7,000
2.900%,
11/6/2022
7,340
700,000
2.800%,
3/15/2023
k
731,692
540,000
3.600%,
5/14/2025
598,400
500,000
2.950%,
11/21/2026
k
544,665
240,000
4.700%,
5/14/2045
294,484
1,200,000
4.875%,
11/14/2048
1,521,093
Albertson's
Companies,
Inc.
620,000
7.500%,
3/15/2026
k
680,165
395,000
3.500%,
3/15/2029
k
383,397
Altria
Group,
Inc.
400,000
4.400%,
2/14/2026
460,517
1,500,000
5.800%,
2/14/2039
1,913,802
Amgen,
Inc.
600,000
3.375%,
2/21/2050
648,029
300,000
3.125%,
5/1/2025
329,018
Anheuser-Busch
Companies,
LLC
201,000
3.650%,
2/1/2026
224,640
896,000
4.700%,
2/1/2036
1,080,864
Anheuser-Busch
InBev
Worldwide,
Inc.
900,000
4.750%,
4/15/2058
1,094,599
575,000
4.375%,
4/15/2038
668,859
75,000
4.600%,
4/15/2048
89,246
Anthem,
Inc.
525,000
3.125%,
5/15/2050
529,504
590,000
4.625%,
5/15/2042
738,274
Aramark
Services,
Inc.
170,000
6.375%,
5/1/2025
k
177,085
BAT
Capital
Corporation
480,000
4.540%,
8/15/2047
512,992
Bausch
Health
Companies,
Inc.
100,000
5.000%,
1/30/2028
k
97,125
Baxalta,
Inc.
246,000
4.000%,
6/23/2025
279,572
Becton,
Dickinson
and
Company
516,000
3.734%,
12/15/2024
570,330
375,000
3.700%,
6/6/2027
424,988
Bunge,
Ltd.
Finance
Corporation
190,000
3.500%,
11/24/2020
190,832
Campbell
Soup
Company
200,000
2.375%,
4/24/2030
207,828
Cargill,
Inc.
800,000
3.250%,
5/23/2029
k
904,077
Centene
Corporation
290,000
4.750%,
1/15/2025
298,062
120,000
4.250%,
12/15/2027
125,572
280,000
4.625%,
12/15/2029
302,025
460,000
3.000%,
10/15/2030
e
468,625
Cigna
Corporation
113,000
3.050%,
10/15/2027
120,855
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Consumer
Non-Cyclical
(0.7%)
-
continued
$
590,000
4.800%,
8/15/2038
$
731,249
Conagra
Brands,
Inc.
455,000
4.300%,
5/1/2024
507,578
Constellation
Brands,
Inc.
470,000
3.600%,
2/15/2028
531,160
250,000
2.875%,
5/1/2030
269,750
CVS
Health
Corporation
7,000
2.750%,
12/1/2022
7,299
140,000
4.100%,
3/25/2025
158,179
1,440,000
4.875%,
7/20/2035
1,829,145
DaVita,
Inc.
380,000
4.625%,
6/1/2030
k
390,032
DENTSPLY
SIRONA,
Inc.
775,000
3.250%,
6/1/2030
842,001
Edgewell
Personal
Care
Company
160,000
5.500%,
6/1/2028
k
168,357
Encompass
Health
Corporation
440,000
4.500%,
2/1/2028
442,200
Energizer
Holdings,
Inc.
500,000
4.750%,
6/15/2028
k
517,450
Express
Scripts
Holding
Company
740,000
4.800%,
7/15/2046
797,393
General
Mills,
Inc.
320,000
2.875%,
4/15/2030
350,883
Gilead
Sciences,
Inc.
1,300,000
2.600%,
10/1/2040
1,297,038
HCA,
Inc.
1,120,000
5.375%,
2/1/2025
1,226,400
HLF
Financing
SARL,
LLC
230,000
7.250%,
8/15/2026
k
236,325
Imperial
Brands
Finance
plc
825,000
3.875%,
7/26/2029
k
893,089
JBS
Investments
II
GmbH
240,000
5.750%,
1/15/2028
k
249,600
JBS
USA,
LLC
395,000
5.750%,
6/15/2025
k
407,166
280,000
5.500%,
1/15/2030
k
305,200
Kellogg
Company
550,000
2.100%,
6/1/2030
563,015
Keurig
Dr.
Pepper,
Inc.
550,000
3.200%,
5/1/2030
614,010
Kimberly-Clark
Corporation
450,000
3.100%,
3/26/2030
514,700
300,000
3.900%,
5/4/2047
384,306
Kraft
Foods
Group,
Inc.
390,000
5.000%,
6/4/2042
426,568
Kraft
Heinz
Foods
Company
490,000
4.625%,
1/30/2029
545,229
570,000
3.750%,
4/1/2030
k
601,708
Medtronic,
Inc.
35,000
4.625%,
3/15/2045
48,082
Molina
Healthcare,
Inc.
280,000
4.375%,
6/15/2028
k
285,740
Mondelez
International,
Inc.
180,000
2.750%,
4/13/2030
195,889
Mylan,
Inc.
120,000
3.125%,
1/15/2023
k
126,288
675,000
4.550%,
4/15/2028
785,905
Par
Pharmaceutical,
Inc.
390,000
7.500%,
4/1/2027
k
408,595
Pernod
Ricard
SA
5,000
5.750%,
4/7/2021
k
5,135
Post
Holdings,
Inc.
220,000
5.750%,
3/1/2027
k
231,275
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
246
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Consumer
Non-Cyclical
(0.7%)
-
continued
Quest
Diagnostics,
Inc.
$
550,000
2.800%,
6/30/2031
$
593,553
Reynolds
American,
Inc.
672,000
5.700%,
8/15/2035
838,195
Roche
Holdings,
Inc.
336,000
4.000%,
11/28/2044
k
451,162
Scotts
Miracle-Gro
Company
420,000
4.500%,
10/15/2029
444,937
Simmons
Foods,
Inc.
260,000
5.750%,
11/1/2024
k
260,270
Smithfield
Foods,
Inc.
350,000
2.650%,
10/3/2021
k
352,164
Spectrum
Brands,
Inc.
120,000
5.500%,
7/15/2030
k
126,600
Sysco
Corporation
600,000
6.600%,
4/1/2040
808,140
Teleflex,
Inc.
320,000
4.250%,
6/1/2028
k
331,200
Tenet
Healthcare
Corporation
210,000
4.625%,
7/15/2024
210,525
570,000
5.125%,
11/1/2027
k
586,302
Teva
Pharmaceutical
Finance
Netherlands
III
BV
3,000
2.200%,
7/21/2021
2,974
340,000
2.800%,
7/21/2023
325,125
Thermo
Fisher
Scientific,
Inc.
360,000
4.133%,
3/25/2025
410,157
TreeHouse
Foods,
Inc.
160,000
4.000%,
9/1/2028
161,821
Tyson
Foods,
Inc.
236,000
3.550%,
6/2/2027
266,492
UnitedHealth
Group,
Inc.
600,000
2.950%,
10/15/2027
668,333
1,460,000
4.625%,
7/15/2035
1,917,962
VRX
Escrow
Corporation
1,535,000
6.125%,
4/15/2025
k
1,571,456
Zoetis,
Inc.
468,000
4.700%,
2/1/2043
615,081
Total
47,512,507
Energy
(0.5%)
Antero
Resources
Corporation
225,000
5.000%,
3/1/2025
140,625
Apache
Corporation
150,000
4.875%,
11/15/2027
141,750
260,000
4.375%,
10/15/2028
i
237,900
190,000
5.100%,
9/1/2040
170,791
Archrock
Partners,
LP
280,000
6.250%,
4/1/2028
k
263,900
BP
Capital
Markets
America,
Inc.
120,000
3.119%,
5/4/2026
132,539
400,000
3.543%,
4/6/2027
448,181
BP
Capital
Markets
plc
840,000
3.279%,
9/19/2027
932,073
Buckeye
Partners,
LP
200,000
4.125%,
3/1/2025
k
191,000
230,000
3.950%,
12/1/2026
214,677
80,000
4.125%,
12/1/2027
75,800
Canadian
Natural
Resources,
Ltd.
585,000
3.450%,
11/15/2021
598,287
195,000
2.050%,
7/15/2025
198,936
265,000
2.950%,
7/15/2030
266,601
Canadian
Oil
Sands,
Ltd.
315,000
9.400%,
9/1/2021
k
332,973
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Energy
(0.5%)
-
continued
Cheniere
Energy
Partners,
LP
$
795,000
5.625%,
10/1/2026
$
826,800
Comstock
Resources,
Inc.
190,000
9.750%,
8/15/2026
194,788
ConocoPhillips
590,000
6.500%,
2/1/2039
861,755
Continental
Resources,
Inc.
205,000
5.000%,
9/15/2022
203,592
150,000
4.500%,
4/15/2023
143,011
DCP
Midstream
Operating,
LP
240,000
5.625%,
7/15/2027
245,520
Diamondback
Energy,
Inc.
550,000
3.500%,
12/1/2029
530,282
El
Paso
Pipeline
Partners
Operating
Company,
LLC
355,000
4.300%,
5/1/2024
391,216
Enagas
SA
640,000
5.500%,
1/15/2028
k
576,000
Endeavor
Energy
Resources,
LP
100,000
5.500%,
1/30/2026
k
99,250
300,000
5.750%,
1/30/2028
k
301,500
Energy
Transfer
Operating,
LP
200,000
4.200%,
9/15/2023
210,745
600,000
6.000%,
6/15/2048
602,445
Energy
Transfer
Partners,
LP
265,000
4.900%,
3/15/2035
258,821
250,000
5.150%,
2/1/2043
228,473
EnLink
Midstream
Partners,
LP
250,000
4.850%,
7/15/2026
216,277
320,000
5.600%,
4/1/2044
205,600
Enterprise
Products
Operating,
LLC
172,000
5.100%,
2/15/2045
199,929
EOG
Resources,
Inc.
525,000
4.375%,
4/15/2030
618,211
EQM
Midstream
Partners,
LP
280,000
6.500%,
7/1/2027
k
296,806
120,000
5.500%,
7/15/2028
120,846
EQT
Corporation
440,000
3.900%,
10/1/2027
i
400,950
Equinor
ASA
815,000
3.000%,
4/6/2027
897,499
Exxon
Mobil
Corporation
300,000
4.327%,
3/19/2050
372,860
700,000
3.452%,
4/15/2051
767,113
Harvest
Midstream,
LP
210,000
7.500%,
9/1/2028
k
208,950
Kinder
Morgan
Energy
Partners,
LP
14,000
3.450%,
2/15/2023
14,706
585,000
6.500%,
9/1/2039
736,002
Magellan
Midstream
Partners,
LP
315,000
5.000%,
3/1/2026
367,140
Marathon
Oil
Corporation
525,000
4.400%,
7/15/2027
522,010
Marathon
Petroleum
Corporation
708,000
4.750%,
12/15/2023
775,917
230,000
6.500%,
3/1/2041
280,237
MPLX,
LP
10,000
4.500%,
7/15/2023
10,837
650,000
4.875%,
12/1/2024
726,048
708,000
4.875%,
6/1/2025
802,515
Murphy
Oil
Corporation
150,000
5.875%,
12/1/2027
128,106
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
247
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Energy
(0.5%)
-
continued
Nabors
Industries,
Ltd.
$
320,000
7.250%,
1/15/2026
k
$
157,600
Newfield
Exploration
Company
440,000
5.625%,
7/1/2024
427,954
280,000
5.375%,
1/1/2026
263,274
Noble
Energy,
Inc.
1,000,000
5.050%,
11/15/2044
1,295,187
Occidental
Petroleum
Corporation
238,000
2.700%,
8/15/2022
222,380
490,000
2.900%,
8/15/2024
415,731
170,000
3.400%,
4/15/2026
135,575
150,000
8.500%,
7/15/2027
151,156
290,000
3.500%,
8/15/2029
222,372
160,000
6.450%,
9/15/2036
136,003
410,000
4.400%,
4/15/2046
292,521
ONEOK,
Inc.
480,000
2.200%,
9/15/2025
472,960
Parsley
Energy,
LLC
370,000
5.625%,
10/15/2027
k
368,150
Pioneer
Natural
Resources
Company
225,000
4.450%,
1/15/2026
260,167
Plains
All
American
Pipeline,
LP
800,000
4.500%,
12/15/2026
853,437
750,000
3.550%,
12/15/2029
725,152
QEP
Resources,
Inc.
170,000
5.625%,
3/1/2026
96,475
Regency
Energy
Partners,
LP
448,000
5.875%,
3/1/2022
467,589
Sabine
Pass
Liquefaction,
LLC
351,000
6.250%,
3/15/2022
372,466
426,000
5.625%,
4/15/2023
466,601
480,000
5.750%,
5/15/2024
543,377
Schlumberger
Holdings
Corporation
280,000
4.000%,
12/21/2025
k
313,099
Southwestern
Energy
Company
435,000
7.500%,
4/1/2026
i
425,212
Suncor
Energy,
Inc.
270,000
3.600%,
12/1/2024
293,960
Sunoco
Logistics
Partners
Operations,
LP
10,000
4.400%,
4/1/2021
10,147
475,000
4.000%,
10/1/2027
484,960
Sunoco,
LP
285,000
5.875%,
3/15/2028
291,413
Targa
Resources
Partners,
LP
490,000
5.375%,
2/1/2027
492,754
Transocean
Pontus,
Ltd.
187,200
6.125%,
8/1/2025
k
167,544
W&T
Offshore,
Inc.
245,000
9.750%,
11/1/2023
k
168,722
Western
Gas
Partners,
LP
472,000
4.000%,
7/1/2022
474,797
Western
Midstream
Operating,
LP
130,000
6.250%,
2/1/2050
120,413
240,000
4.100%,
2/1/2025
228,600
240,000
3.950%,
6/1/2025
225,552
Williams
Companies,
Inc.
600,000
7.500%,
1/15/2031
788,952
Williams
Partners,
LP
300,000
4.500%,
11/15/2023
328,469
475,000
6.300%,
4/15/2040
586,434
WPX
Energy,
Inc.
175,000
5.750%,
6/1/2026
181,125
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Energy
(0.5%)
-
continued
$
240,000
4.500%,
1/15/2030
$
237,000
Total
32,854,070
Financials
(1.2%)
ABN
AMRO
Bank
NV
450,000
4.750%,
7/28/2025
k
506,745
ACE
INA
Holdings,
Inc.
10,000
2.875%,
11/3/2022
10,460
335,000
4.350%,
11/3/2045
438,077
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
420,000
3.500%,
1/15/2025
409,056
AerCap
Ireland
Capital,
Ltd.
575,000
3.875%,
1/23/2028
529,721
Air
Lease
Corporation
1,000
2.500%,
3/1/2021
1,006
Aircastle,
Ltd.
700,000
5.000%,
4/1/2023
701,534
Ally
Financial,
Inc.
470,000
5.750%,
11/20/2025
527,612
American
International
Group,
Inc.
336,000
4.125%,
2/15/2024
372,795
220,000
3.750%,
7/10/2025
246,458
650,000
3.900%,
4/1/2026
741,025
Athene
Global
Funding
6,000
4.000%,
1/25/2022
k
6,229
Australia
and
New
Zealand
Banking
Group,
Ltd.
450,000
2.950%,
7/22/2030
b,k
466,304
AvalonBay
Communities,
Inc.
500,000
3.500%,
11/15/2025
562,618
Aviation
Capital
Group,
LLC
485,000
2.875%,
1/20/2022
k
481,302
Avolon
Holdings
Funding,
Ltd.
350,000
5.250%,
5/15/2024
k
351,553
Banco
Santander
Mexico
SA
400,000
5.375%,
4/17/2025
k
444,800
Banco
Santander
SA
600,000
1.386%,
(LIBOR
3M
+
1.120%),
4/12/2023
b
602,679
Bank
of
America
Corporation
5,000
2.738%,
1/23/2022
b
5,035
10,000
3.550%,
3/5/2024
b
10,652
448,000
4.000%,
4/1/2024
496,411
750,000
4.200%,
8/26/2024
835,092
1,070,000
4.000%,
1/22/2025
1,191,689
650,000
3.458%,
3/15/2025
b
704,456
600,000
3.093%,
10/1/2025
b
646,864
250,000
3.824%,
1/20/2028
b
283,256
600,000
2.496%,
2/13/2031
b
625,433
400,000
2.592%,
4/29/2031
b
422,395
561,000
5.875%,
2/7/2042
827,507
Bank
of
New
York
Mellon
Corporation
40,000
2.500%,
4/15/2021
40,408
14,000
2.600%,
2/7/2022
14,404
Barclays
Bank
plc
112,000
10.179%,
6/12/2021
k
117,831
Barclays
plc
448,000
3.650%,
3/16/2025
483,205
665,000
3.564%,
9/23/2035
b
654,154
Boston
Properties,
LP
525,000
4.500%,
12/1/2028
618,439
BPCE
SA
590,000
3.500%,
10/23/2027
k
648,270
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
248
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Financials
(1.2%)
-
continued
Camden
Property
Trust
$
900,000
3.150%,
7/1/2029
$
997,904
Capital
One
Financial
Corporation
750,000
4.200%,
10/29/2025
831,313
Cascades
USA,
Inc.
390,000
5.125%,
1/15/2026
k
408,603
CIT
Group,
Inc.
535,000
5.000%,
8/15/2022
551,719
160,000
5.250%,
3/7/2025
169,280
Citigroup,
Inc.
910,000
4.400%,
6/10/2025
1,023,359
448,000
3.200%,
10/21/2026
493,978
1,070,000
3.668%,
7/24/2028
b
1,201,045
336,000
4.125%,
7/25/2028
386,239
600,000
3.520%,
10/27/2028
b
666,674
700,000
3.878%,
1/24/2039
b
822,133
348,000
4.650%,
7/23/2048
456,540
CNA
Financial
Corporation
250,000
3.900%,
5/1/2029
286,584
Comerica,
Inc.
180,000
3.700%,
7/31/2023
194,949
Commerzbank
AG
600,000
8.125%,
9/19/2023
k
682,824
Compass
Bank
500,000
3.500%,
6/11/2021
509,059
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
620,000
3.950%,
11/9/2022
658,752
1,416,000
4.625%,
12/1/2023
1,574,776
Credit
Acceptance
Corporation
250,000
5.125%,
12/31/2024
k
248,258
Credit
Agricole
SA
807,000
3.375%,
1/10/2022
k
833,428
600,000
3.250%,
1/14/2030
k
644,029
Credit
Suisse
Group
AG
250,000
2.997%,
12/14/2023
b,k
260,212
350,000
7.250%,
9/12/2025
b,k,n
379,313
750,000
2.193%,
6/5/2026
b,k
774,417
450,000
3.869%,
1/12/2029
b,k
501,958
Credit
Suisse
Group
Funding
(Guernsey),
Ltd.
21,000
3.800%,
9/15/2022
22,196
Danske
Bank
AS
675,000
3.244%,
12/20/2025
b,k
718,266
Deutsche
Bank
AG
925,000
3.547%,
9/18/2031
b
929,513
Discover
Bank
400,000
2.450%,
9/12/2024
421,934
600,000
4.682%,
8/9/2028
b
629,004
Duke
Realty,
LP
450,000
2.875%,
11/15/2029
490,561
ERP
Operating,
LP
90,000
3.375%,
6/1/2025
99,590
ESH
Hospitality,
Inc.
240,000
5.250%,
5/1/2025
k
242,400
120,000
4.625%,
10/1/2027
k
117,752
Fidelity
National
Financial,
Inc.
500,000
5.500%,
9/1/2022
542,634
First
Horizon
National
Corporation
775,000
4.000%,
5/26/2025
842,411
GE
Capital
Funding,
LLC
1,750,000
4.400%,
5/15/2030
k
1,881,075
GE
Capital
International
Funding
Company
890,000
4.418%,
11/15/2035
940,589
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Financials
(1.2%)
-
continued
Goldman
Sachs
Group,
Inc.
$
842,000
4.165%,
(LIBOR
3M
+
3.922%),
11/2/2020
b,n
$
827,518
14,000
3.000%,
4/26/2022
14,202
700,000
3.625%,
2/20/2024
760,099
790,000
4.750%,
10/21/2045
1,037,135
Guardian
Life
Global
Funding
10,000
2.000%,
4/26/2021
k
10,099
HCP,
Inc.
176,000
3.400%,
2/1/2025
192,580
Healthpeak
Properties,
Inc.
400,000
2.875%,
1/15/2031
423,436
Hospitality
Properties
Trust
10,000
4.250%,
2/15/2021
9,950
HSBC
Holdings
plc
464,000
6.875%,
6/1/2021
b,n
473,280
750,000
3.803%,
3/11/2025
b
810,206
425,000
3.900%,
5/25/2026
469,653
725,000
4.950%,
3/31/2030
872,565
Huntington
Bancshares,
Inc.
10,000
3.150%,
3/14/2021
10,107
Icahn
Enterprises,
LP
345,000
6.750%,
2/1/2024
353,892
410,000
6.375%,
12/15/2025
421,466
International
Lease
Finance
Corporation
284,000
5.875%,
8/15/2022
303,878
J.P.
Morgan
Chase
&
Company
10,000
2.776%,
4/25/2023
b
10,341
750,000
3.875%,
9/10/2024
829,566
690,000
3.125%,
1/23/2025
752,554
1,080,000
3.900%,
7/15/2025
1,221,392
360,000
3.300%,
4/1/2026
398,849
675,000
4.203%,
7/23/2029
b
798,495
400,000
2.522%,
4/22/2031
b
425,757
720,000
3.882%,
7/24/2038
b
847,571
Kimco
Realty
Corporation
510,000
3.300%,
2/1/2025
552,478
Liberty
Mutual
Group,
Inc.
4,000
5.000%,
6/1/2021
k
4,122
224,000
4.950%,
5/1/2022
k
238,640
Lloyds
Banking
Group
plc
70,000
2.907%,
11/7/2023
b
72,754
925,000
3.870%,
7/9/2025
b
1,007,231
MassMutual
Global
Funding
400,000
2.750%,
6/22/2024
k
429,899
MetLife,
Inc.
355,000
4.050%,
3/1/2045
430,965
MGM
Growth
Properties
Operating
Partnership,
LP
170,000
4.625%,
6/15/2025
k
173,400
140,000
5.750%,
2/1/2027
150,850
Mitsubishi
UFJ
Financial
Group,
Inc.
7,000
2.998%,
2/22/2022
7,234
600,000
3.287%,
7/25/2027
666,414
800,000
2.048%,
7/17/2030
807,768
Mizuho
Financial
Group,
Inc.
660,000
1.979%,
9/8/2031
b
653,041
Morgan
Stanley
224,000
4.085%,
(LIBOR
3M
+
3.810%),
1/15/2021
b,n
219,054
12,000
5.500%,
7/28/2021
12,504
290,000
2.625%,
11/17/2021
297,231
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
249
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Financials
(1.2%)
-
continued
$
153,000
1.452%,
(LIBOR
3M
+
1.180%),
1/20/2022
b
$
153,446
155,000
4.875%,
11/1/2022
167,567
55,000
3.125%,
1/23/2023
58,160
250,000
2.188%,
4/28/2026
b
261,694
540,000
4.350%,
9/8/2026
624,159
720,000
3.591%,
7/22/2028
b
809,372
100,000
3.772%,
1/24/2029
b
113,874
720,000
3.622%,
4/1/2031
b
822,095
MPT
Operating
Partnership,
LP
225,000
6.375%,
3/1/2024
231,075
445,000
4.625%,
8/1/2029
463,009
Nasdaq,
Inc.
335,000
3.250%,
4/28/2050
349,027
295,000
3.850%,
6/30/2026
335,315
Nationwide
Building
Society
400,000
3.622%,
4/26/2023
b,k
415,581
Natwest
Group
plc
945,000
3.032%,
11/28/2035
b
907,748
Outfront
Media
Cap,
LLC
420,000
4.625%,
3/15/2030
k
403,200
Park
Aerospace
Holdings,
Ltd.
350,000
4.500%,
3/15/2023
k
347,213
Prudential
Financial,
Inc.
675,000
3.700%,
3/13/2051
742,897
Quicken
Loans,
LLC
190,000
3.625%,
3/1/2029
k
188,338
190,000
3.875%,
3/1/2031
k
187,625
Realty
Income
Corporation
475,000
4.125%,
10/15/2026
551,139
Regency
Centers,
LP
720,000
4.125%,
3/15/2028
804,979
Reinsurance
Group
of
America,
Inc.
510,000
4.700%,
9/15/2023
563,089
Royal
Bank
of
Scotland
Group
plc
500,000
6.000%,
12/29/2025
b,n
508,750
475,000
4.445%,
5/8/2030
b
549,359
Service
Properties
Trust
200,000
4.500%,
6/15/2023
196,212
260,000
4.750%,
10/1/2026
231,699
Simon
Property
Group,
LP
15,000
2.500%,
7/15/2021
15,162
448,000
4.250%,
11/30/2046
479,261
Societe
Generale
SA
354,000
4.750%,
11/24/2025
k
388,284
Springleaf
Finance
Corporation
390,000
6.875%,
3/15/2025
432,773
230,000
6.625%,
1/15/2028
255,254
Sumitomo
Mitsui
Financial
Group,
Inc.
336,000
3.010%,
10/19/2026
370,373
Synchrony
Financial
155,000
4.250%,
8/15/2024
168,404
350,000
3.950%,
12/1/2027
376,455
UBS
Group
Funding
Jersey,
Ltd.
336,000
4.125%,
9/24/2025
k
382,898
UDR,
Inc.
400,000
2.100%,
8/1/2032
397,447
Ventas
Realty,
LP
500,000
3.100%,
1/15/2023
519,853
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
150,000
4.250%,
12/1/2026
k
150,698
80,000
3.750%,
2/15/2027
k
78,662
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Financials
(1.2%)
-
continued
$
150,000
4.625%,
12/1/2029
k
$
153,215
80,000
4.125%,
8/15/2030
k
78,800
Voya
Financial,
Inc.
425,000
3.125%,
7/15/2024
458,163
Wells
Fargo
&
Company
450,000
2.550%,
12/7/2020
451,818
8,000
2.100%,
7/26/2021
8,112
750,000
4.125%,
8/15/2023
816,994
10,000
1.491%,
(LIBOR
3M
+
1.230%),
10/31/2023
b
10,125
350,000
3.000%,
2/19/2025
377,671
450,000
3.000%,
4/22/2026
489,453
450,000
3.000%,
10/23/2026
491,210
550,000
2.393%,
6/2/2028
b
573,584
310,000
4.900%,
11/17/2045
392,531
Total
76,762,744
Mortgage-Backed
Securities
(5.0%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
18,178,830
3.000%,
3/25/2050
19,062,075
7,827,872
3.000%,
4/1/2050
8,208,209
7,106,971
3.500%,
7/1/2047
7,519,969
Federal
National
Mortgage
Association
4,025,812
4.500%,
5/1/2048
4,359,970
7,924,373
3.500%,
10/1/2048
8,372,849
4,515,942
3.500%,
6/1/2049
4,776,982
9,294,551
3.500%,
8/1/2049
9,841,863
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
14,250,000
1.500%,
10/1/2035
e
14,576,191
32,075,000
2.000%,
10/1/2035
e
33,327,930
41,611,000
2.500%,
10/1/2035
e
43,444,485
20,500,000
2.000%,
11/1/2035
e
21,292,661
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
40,250,000
2.000%,
10/1/2050
e
41,608,437
34,669,000
2.500%,
10/1/2050
e,o
36,361,822
20,175,000
2.000%,
11/1/2050
e,o
20,806,056
27,550,000
2.500%,
11/1/2050
e
28,835,750
14,324,869
4.000%,
7/1/2048
15,278,616
12,275,000
3.000%,
10/1/2049
e
12,858,542
Total
330,532,407
Technology
(0.4%)
Apple,
Inc.
300,000
3.000%,
2/9/2024
322,998
95,000
3.200%,
5/11/2027
108,021
640,000
3.000%,
6/20/2027
721,667
960,000
3.000%,
11/13/2027
1,084,596
835,000
3.750%,
9/12/2047
1,026,632
Applied
Materials,
Inc.
240,000
3.300%,
4/1/2027
272,686
Avnet,
Inc.
335,000
3.750%,
12/1/2021
344,601
Baidu,
Inc.
500,000
3.425%,
4/7/2030
i
549,797
Black
Knight
InfoServ,
LLC
60,000
3.625%,
9/1/2028
k
60,637
Broadcom
Corporation
391,000
3.875%,
1/15/2027
433,566
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
250
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Technology
(0.4%)
-
continued
$
500,000
3.500%,
1/15/2028
$
541,460
Broadcom,
Inc.
900,000
4.750%,
4/15/2029
1,045,216
250,000
5.000%,
4/15/2030
294,873
CDW,
LLC
150,000
4.250%,
4/1/2028
155,250
CommScope
Technologies
Finance,
LLC
621,000
6.000%,
6/15/2025
k
629,415
Diamond
1
Finance
Corporation
1,300,000
6.020%,
6/15/2026
k
1,526,796
Diamond
Sports
Group,
LLC
250,000
5.375%,
8/15/2026
k
176,875
420,000
6.625%,
8/15/2027
k
218,400
Fiserv,
Inc.
775,000
2.250%,
6/1/2027
818,095
480,000
2.650%,
6/1/2030
516,166
Gartner,
Inc.
170,000
4.500%,
7/1/2028
k
178,109
160,000
3.750%,
10/1/2030
k
161,848
Hewlett
Packard
Enterprise
Company
475,000
4.650%,
10/1/2024
537,038
Intel
Corporation
600,000
3.100%,
2/15/2060
650,078
Iron
Mountain,
Inc.
320,000
4.875%,
9/15/2029
k
325,600
250,000
5.250%,
7/15/2030
k
260,625
KLA
Corporation
720,000
3.300%,
3/1/2050
753,167
Lam
Research
Corporation
600,000
2.875%,
6/15/2050
619,726
Marvell
Technology
Group,
Ltd.
350,000
4.200%,
6/22/2023
377,852
475,000
4.875%,
6/22/2028
572,933
Micron
Technology,
Inc.
275,000
2.497%,
4/24/2023
285,556
Microsoft
Corporation
797,000
2.675%,
6/1/2060
834,534
700,000
4.200%,
11/3/2035
919,176
890,000
3.700%,
8/8/2046
1,116,771
NCR
Corporation
750,000
6.125%,
9/1/2029
k
792,465
NVIDIA
Corporation
675,000
3.500%,
4/1/2040
790,402
NXP
BV/NXP
Funding,
LLC
700,000
4.875%,
3/1/2024
k
787,046
Open
Text
Corporation
480,000
4.125%,
2/15/2030
k
493,651
Oracle
Corporation
10,000
2.500%,
5/15/2022
10,313
332,000
2.400%,
9/15/2023
349,348
360,000
2.950%,
5/15/2025
391,928
750,000
2.800%,
4/1/2027
822,841
600,000
3.850%,
7/15/2036
707,846
625,000
3.600%,
4/1/2040
712,782
Plantronics,
Inc.
420,000
5.500%,
5/31/2023
k
373,800
PTC,
Inc.
130,000
3.625%,
2/15/2025
k
131,950
110,000
4.000%,
2/15/2028
k
113,061
Qorvo,
Inc.
200,000
3.375%,
4/1/2031
k
203,425
Sensata
Technologies,
Inc.
420,000
3.750%,
2/15/2031
k
417,375
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Technology
(0.4%)
-
continued
SS&C
Technologies,
Inc.
$
600,000
5.500%,
9/30/2027
k
$
637,632
Switch,
Ltd.
90,000
3.750%,
9/15/2028
k
90,900
Texas
Instruments,
Inc.
580,000
4.150%,
5/15/2048
756,766
Tyco
Electronics
Group
SA
120,000
3.450%,
8/1/2024
130,460
240,000
3.125%,
8/15/2027
262,306
Vmware,
Inc.
400,000
4.650%,
5/15/2027
466,065
Xerox
Holdings
Corporation
230,000
5.000%,
8/15/2025
k
227,302
Total
28,110,424
Transportation
(0.1%)
Air
Canada
Pass
Through
Trust
90,503
3.875%,
3/15/2023
k
77,847
Air
Lease
Corporation
180,000
3.500%,
1/15/2022
184,657
American
Airlines,
Inc.
80,000
11.750%,
7/15/2025
k
77,200
Burlington
Northern
Santa
Fe,
LLC
355,000
5.750%,
5/1/2040
508,015
550,000
5.050%,
3/1/2041
732,737
385,000
4.450%,
3/15/2043
489,383
CSX
Corporation
360,000
3.800%,
4/15/2050
430,109
115,000
3.700%,
11/1/2023
124,779
700,000
3.350%,
9/15/2049
772,324
Delta
Air
Lines,
Inc.
360,000
7.000%,
5/1/2025
k
395,215
Mileage
Plus
Holdings,
LLC
240,000
6.500%,
6/20/2027
k
249,900
Penske
Truck
Leasing
Company,
LP
125,000
3.375%,
2/1/2022
k
129,066
Southwest
Airlines
Company
525,000
4.750%,
5/4/2023
560,626
500,000
5.125%,
6/15/2027
544,598
United
Airlines
Pass
Through
Trust
10,000
3.700%,
12/1/2022
9,367
United
Parcel
Service,
Inc.
480,000
4.450%,
4/1/2030
601,236
XPO
Logistics,
Inc.
517,000
6.750%,
8/15/2024
k
547,606
Total
6,434,665
U.S.
Government
&
Agencies
(5.5%)
U.S.
Treasury
Bonds
525,000
2.000%,
2/15/2050
593,824
20,580,000
2.250%,
11/15/2027
23,134,814
18,050,000
2.875%,
5/15/2028
21,235,543
5,830,000
5.250%,
11/15/2028
8,019,211
7,700,000
1.625%,
8/15/2029
8,380,969
1,580,000
1.500%,
2/15/2030
1,704,178
2,050,000
4.375%,
5/15/2040
3,217,859
11,465,000
3.000%,
5/15/2042
15,240,389
25,124,000
2.500%,
5/15/2046
31,038,936
16,725,000
2.875%,
5/15/2049
22,392,554
550,000
2.375%,
11/15/2049
671,494
U.S.
Treasury
Notes
300,000
1.875%,
12/15/2020
301,078
500,000
2.500%,
2/28/2021
504,824
1,500,000
1.375%,
5/31/2021
1,512,070
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
251
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
U.S.
Government
&
Agencies
(5.5%)
-
continued
$
16,465,000
1.125%,
8/31/2021
$
16,609,069
6,425,000
1.500%,
9/30/2021
6,510,834
1,700,000
2.500%,
1/15/2022
1,751,598
1,900,000
1.125%,
2/28/2022
1,926,273
8,320,000
1.875%,
7/31/2022
8,584,550
8,190,000
2.000%,
11/30/2022
8,518,880
11,580,000
2.500%,
3/31/2023
12,259,873
16,710,000
2.500%,
1/31/2024
17,997,192
2,335,000
2.125%,
7/31/2024
2,505,929
95,000
2.250%,
11/15/2024
102,867
13,150,000
2.125%,
11/30/2024
14,181,967
43,700,000
2.875%,
5/31/2025
48,998,625
12,650,000
2.625%,
1/31/2026
14,194,189
64,360,000
2.500%,
2/28/2026
71,884,589
Total
363,974,178
Utilities
(0.4%)
Alabama
Power
Company
7,000
2.450%,
3/30/2022
7,193
Ameren
Illinois
Company
450,000
4.500%,
3/15/2049
596,879
American
Water
Capital
Corporation
650,000
2.800%,
5/1/2030
711,489
Appalachian
Power
Company
238,000
3.300%,
6/1/2027
261,567
Arizona
Public
Service
Company
50,000
3.500%,
12/1/2049
55,486
Berkshire
Hathaway
Energy
Company
375,000
4.500%,
2/1/2045
468,938
Calpine
Corporation
380,000
4.500%,
2/15/2028
k
389,173
CenterPoint
Energy,
Inc.
185,000
3.850%,
2/1/2024
202,638
700,000
2.500%,
9/1/2024
744,623
420,000
4.250%,
11/1/2028
500,455
CMS
Energy
Corporation
336,000
2.950%,
2/15/2027
357,708
Commonwealth
Edison
Company
355,000
3.700%,
3/1/2045
413,103
180,000
4.350%,
11/15/2045
230,090
Consolidated
Edison
Company
of
New
York,
Inc.
550,000
4.125%,
5/15/2049
658,620
Consolidated
Edison,
Inc.
168,000
4.500%,
12/1/2045
210,195
Consumers
Energy
Company
550,000
4.350%,
4/15/2049
723,928
DTE
Electric
Company
265,000
3.700%,
3/15/2045
309,365
360,000
3.700%,
6/1/2046
419,699
Duke
Energy
Carolinas,
LLC
440,000
3.700%,
12/1/2047
519,720
Duke
Energy
Corporation
448,000
3.750%,
9/1/2046
509,848
Duke
Energy
Florida,
LLC
320,000
3.200%,
1/15/2027
360,570
Duke
Energy
Indiana,
LLC
450,000
3.750%,
5/15/2046
525,594
Edison
International
975,000
5.750%,
6/15/2027
1,076,025
Exelon
Corporation
375,000
4.700%,
4/15/2050
476,677
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Utilities
(0.4%)
-
continued
$
240,000
5.100%,
6/15/2045
$
311,767
336,000
4.450%,
4/15/2046
407,288
FirstEnergy
Corporation
150,000
2.850%,
7/15/2022
153,742
845,000
4.850%,
7/15/2047
1,015,871
GFL
Environmental,
Inc.
270,000
3.750%,
8/1/2025
k
269,325
ITC
Holdings
Corporation
67,000
4.050%,
7/1/2023
72,436
224,000
5.300%,
7/1/2043
293,241
Mississippi
Power
Company
340,000
3.950%,
3/30/2028
390,000
Monongahela
Power
Company
275,000
5.400%,
12/15/2043
k
386,359
National
Rural
Utilities
Cooperative
Finance
Corporation
295,000
3.900%,
11/1/2028
350,862
575,000
3.700%,
3/15/2029
674,675
NextEra
Energy
Operating
Partners,
LP
550,000
3.875%,
10/15/2026
k
569,250
NiSource
Finance
Corporation
236,000
3.490%,
5/15/2027
262,905
415,000
5.650%,
2/1/2045
572,729
NiSource,
Inc.
550,000
3.600%,
5/1/2030
626,296
Oncor
Electric
Delivery
Company,
LLC
394,000
3.750%,
4/1/2045
469,722
Pacific
Gas
and
Electric
Company
350,000
3.300%,
12/1/2027
359,724
350,000
3.950%,
12/1/2047
323,098
PG&E
Corporation
160,000
5.000%,
7/1/2028
155,200
130,000
5.250%,
7/1/2030
125,775
PPL
Capital
Funding,
Inc.
236,000
3.400%,
6/1/2023
251,307
515,000
5.000%,
3/15/2044
641,504
PPL
Electric
Utilities
Corporation
354,000
3.950%,
6/1/2047
432,093
PSEG
Power,
LLC
9,000
3.000%,
6/15/2021
9,146
Public
Service
Electric
&
Gas
Company
350,000
3.000%,
5/15/2027
387,658
San
Diego
Gas
and
Electric
Company
600,000
4.150%,
5/15/2048
728,826
South
Carolina
Electric
&
Gas
Company
700,000
5.100%,
6/1/2065
1,043,805
Southern
California
Edison
Company
485,000
4.000%,
4/1/2047
519,324
Southern
Company
320,000
2.950%,
7/1/2023
340,033
325,000
3.250%,
7/1/2026
362,501
450,000
4.400%,
7/1/2046
532,586
Southern
Company
Gas
Capital
Corporation
590,000
4.400%,
5/30/2047
712,272
Southwestern
Electric
Power
Company
180,000
3.900%,
4/1/2045
197,362
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
252
Principal
Amount
Long-Term
Fixed
Income
(16.8%)
Value
Utilities
(0.4%)
-
continued
Suburban
Propane
Partners,
LP
$
310,000
5.875%,
3/1/2027
$
317,362
Talen
Energy
Supply,
LLC
330,000
7.625%,
6/1/2028
k
330,000
TerraForm
Power
Operating,
LLC
305,000
5.000%,
1/31/2028
k
333,876
Virginia
Electric
and
Power
Company
425,000
4.600%,
12/1/2048
578,960
Vistra
Operations
Company,
LLC
430,000
5.000%,
7/31/2027
k
451,607
Total
26,690,070
Total
Long-Term
Fixed
Income
(cost
$1,039,833,878)
1,111,593,376
Shares
Collateral
Held
for
Securities
Loaned
(
1.0%
)
Value
65,223,254
Thrivent
Cash
Management
Trust
65,223,254
Total
Collateral
Held
for
Securities
Loaned
(cost
$65,223,254)
65,223,254
Shares
or
Principal
Amount
Short-Term
Investments
(
9.5%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
1,900,000
0.076%,
10/7/2020
p,q
1,899,981
4,200,000
0.074%,
10/14/2020
p,q
4,199,909
8,800,000
0.080%,
10/28/2020
p,q
8,799,604
1,200,000
0.085%,
11/5/2020
p,q
1,199,918
8,800,000
0.090%,
11/6/2020
p,q
8,799,384
300,000
0.060%,
11/10/2020
p,q
299,977
500,000
0.080%,
11/12/2020
p,q
499,959
7,000,000
0.070%,
11/18/2020
p,q
6,999,347
7,700,000
0.070%,
11/19/2020
p,q
7,699,266
1,100,000
0.055%,
11/24/2020
p,q
1,099,884
25,200,000
0.055%,
12/8/2020
p,q
25,195,716
10,300,000
0.055%,
12/9/2020
p,q
10,298,223
3,100,000
0.075%,
12/22/2020
p,q
3,099,365
Thrivent
Core
Short-Term
Reserve
Fund
54,950,950
0.310%
549,509,503
U.S.
Treasury
Bills
600,000
0.093%,
11/19/2020
p,r
599,927
100,000
0.085%,
12/3/2020
p,r
99,983
100,000
0.080%,
12/10/2020
p,s
99,981
200,000
0.084%,
12/17/2020
p,s
199,959
Total
Short-Term
Investments
(cost
$630,772,844)
630,599,886
Total
Investments
(cost
$5,985,772,401)
104.9%
$6,940,943,008
Other
Assets
and
Liabilities,
Net
(4.9%)
(322,092,783)
Total
Net
Assets
100.0%
$6,618,850,225
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
f
In
bankruptcy. Interest
is
not
being
accrued.
g
In
bankruptcy. Interest
is
being
accrued
per
the
bankruptcy
agreement
terms.
h
Denotes
payment-in-kind
security. The
security
may
pay
an
interest
or
dividend
payment
with
additional
fixed
income
or
equity
securities
in
lieu
of,
or
in
addition
to
a
cash
payment. The
cash
rate
and/or
payment-in-kind
rate
shown
are
as
of
September
30,
2020.
i
All
or
a
portion
of
the
security
is
on
loan.
j
Non-income
producing
security.
k
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$154,099,231
or
2.3%
of
total
net
assets.
l
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
30,
2020.
m
Denotes
interest
only
security. Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets. The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
n
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
o
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
p
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
q
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
r
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
s
At
September
30,
2020,
$182,963
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Moderately
Aggressive
Allocation
Portfolio
as
of
September
30,
2020
was
$198,000
or
0.0%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
253
Security
Acquisition
Date
Cost
Windstream
Services,
LLC,
10/31/2025
1/14/2020
$
324,054
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Moderately
Aggressive
Allocation
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
2,046,618
Common
Stock
62,062,958
Total
lending
$64,109,576
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$65,223,254
Net
amounts
due
to
counterparty
$1,113,678
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
FNMA
-
Federal
National
Mortgage
Association
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
PIK
-
Payment-In-Kind
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
1W
-
ICE
Libor
USD
Rate
1
Week
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
254
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Moderately
Aggressive
Allocation
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
3,135,494
–
2,835,054
300,440
Capital
Goods
5,182,003
–
5,182,003
–
Communications
Services
13,131,100
–
12,456,200
674,900
Consumer
Cyclical
8,650,789
–
8,032,408
618,381
Consumer
Non-Cyclical
10,670,935
–
10,670,935
–
Energy
1,738,273
–
1,738,273
–
Financials
5,426,524
–
5,426,524
–
Technology
5,382,683
–
5,382,683
–
Transportation
1,674,667
–
1,674,667
–
Utilities
1,903,846
–
1,903,846
–
Registered
Investment
Companies
Unaffiliated
44,078,855
44,078,855
–
–
Affiliated
2,304,825,573
2,304,825,573
–
–
Common
Stock
Communications
Services
122,196,316
122,158,821
–
37,495
Consumer
Discretionary
329,435,348
329,435,348
–
–
Consumer
Staples
45,343,316
45,343,316
–
–
Energy
24,486,403
24,486,403
–
–
Financials
195,988,845
192,957,711
3,031,134
–
Health
Care
330,984,549
330,984,549
–
–
Industrials
256,636,466
256,636,466
–
–
Information
Technology
592,445,431
592,191,846
253,585
–
Materials
61,122,057
59,169,745
1,952,306
6
Real
Estate
100,394,146
100,394,146
–
–
Utilities
12,394,743
12,394,743
–
–
Long-Term
Fixed
Income
Asset-Backed
Securities
46,448,449
–
46,448,449
–
Basic
Materials
12,947,291
–
12,947,291
–
Capital
Goods
17,957,317
–
17,957,317
–
Collateralized
Mortgage
Obligations
40,961,818
–
40,061,818
900,000
Commercial
Mortgage-Backed
Securities
8,772,415
–
8,772,415
–
Communications
Services
41,190,062
–
41,190,062
–
Consumer
Cyclical
30,444,959
–
30,444,959
–
Consumer
Non-Cyclical
47,512,507
–
47,512,507
–
Energy
32,854,070
–
32,854,070
–
Financials
76,762,744
–
76,762,744
–
Mortgage-Backed
Securities
330,532,407
–
330,532,407
–
Technology
28,110,424
–
28,110,424
–
Transportation
6,434,665
–
6,434,665
–
U.S.
Government
&
Agencies
363,974,178
–
363,974,178
–
Utilities
26,690,070
–
26,690,070
–
Short-Term
Investments
81,090,383
–
81,090,383
–
Subtotal
Investments
in
Securities
$5,669,912,121
$4,415,057,522
$1,252,323,377
$2,531,222
Other
Investments *
Total
Affiliated
Short-Term
Investments
549,509,503
Affiliated
Registered
Investment
Companies
656,298,130
Collateral
Held
for
Securities
Loaned
65,223,254
Subtotal
Other
Investments
$1,271,030,887
Total
Investments
at
Value
$6,940,943,008
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
255
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
2,923,452
2,923,452
–
–
Total
Asset
Derivatives
$2,923,452
$2,923,452
$–
$–
Liability
Derivatives
Futures
Contracts
7,484,184
7,484,184
–
–
Call
Options
Written
93,662
–
–
93,662
Credit
Default
Swaps
5,197
–
5,197
–
Total
Liability
Derivatives
$7,583,043
$7,484,184
$5,197
$93,662
The
following
table
presents
Moderately
Aggressive
Allocation
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$80,090,533
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
491
December
2020
$
108,466,476
$
25,345
CBOT
U.S.
Long
Bond
169
December
2020
29,972,013
(
180,481)
CME
E-mini
Russell
2000
Index
21
December
2020
1,564,943
14,677
CME
E-mini
S&P
500
Index
5,224
December
2020
874,443,147
1,099,253
CME
E-mini
S&P
Mid-Cap
400
Index
7
December
2020
1,294,517
4,613
CME
Euro
Foreign
Exchange
Currency
317
December
2020
46,824,948
(
323,029)
Eurex
Euro
STOXX
50
Index
1,275
December
2020
49,512,642
(
1,975,388)
ICE
US
mini
MSCI
Emerging
Markets
Index
2,542
December
2020
140,778,174
(
2,429,824)
Total
Futures
Long
Contracts
$
1,252,856,860
(
$
3,764,834)
CBOT
10-Yr.
U.S.
Treasury
Note
(308)
December
2020
(
$
42,926,662)
(
$
48,963)
CBOT
5-Yr.
U.S.
Treasury
Note
(62)
December
2020
(
7,806,497)
(
7,441)
CME
E-mini
Russell
2000
Index
(6,429)
December
2020
(
481,531,167)
(
2,058,213)
CME
E-mini
S&P
Mid-Cap
400
Index
(2,213)
December
2020
(
410,282,514)
(
428,156)
CME
Ultra
Long
Term
U.S.
Treasury
Bond
(13)
December
2020
(
2,928,105)
44,543
ICE
mini
MSCI
EAFE
Index
(990)
December
2020
(
93,468,421)
1,735,021
Ultra
10-Yr.
U.S.
Treasury
Note
(83)
December
2020
(
13,240,827)
(
32,689)
Total
Futures
Short
Contracts
(
$
1,052,184,193)
($795,898)
Total
Futures
Contracts
$
200,672,667
($4,560,732)
The
following
table
presents
Moderately
Aggressive
Allocation
Portfolio's
options
contracts
held
as
of
September
30,
2020.
Option
_
Description
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(12.00)
$
104.88
October
2020
(12,585,937)
(
$
17,414)
$
31,336
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(10.93)
102.78
November
2020
(11,266,724)
(
76,248)
(
11,381)
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Total
Options
Written
Contracts
($93,662)
$19,955
(*) Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
256
Counterparty:
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Moderately
Aggressive
Allocation
Portfolio's
swaps
contracts
held
as
of
September
30,
2020.
Investments
totaling
$699,910
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
35,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2025
$
7,800,000
$
–
(
$
5,197)
(
$
5,197)
Total
Credit
Default
Swaps
$–
($5,197)
($5,197)
1
As
the
buyer
of
protection,
Moderately
Aggressive
Allocation
Portfolio
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Moderately
Aggressive
Allocation
Portfolio
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Moderately
Aggressive
Allocation
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Moderately
Aggressive
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
257
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Moderately
Aggressive
Allocation
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$75,829
$11,990
$–
$87,904
8,952
1.3%
Core
Emerging
Markets
Equity*
–
41,200
–
42,879
4,204
0.7
Core
International
Equity
220,517
–
13,000
187,841
21,177
2.8
Core
Low
Volatility
Equity
242,502
94,000
–
337,674
28,116
5.1
Global
Stock
408,855
46,922
–
411,312
33,287
6.2
High
Yield
61,624
2,398
–
59,846
13,410
0.9
Income
180,729
5,107
–
194,348
17,520
2.9
International
Allocation
574,628
23,610
32,000
488,524
54,722
7.4
International
Index*
–
32,000
–
36,859
3,305
0.6
Large
Cap
Value
490,008
18,044
–
431,406
26,681
6.5
Limited
Maturity
Bond
101,072
1,692
–
103,985
10,357
1.6
Mid
Cap
Stock
482,077
18,449
–
476,882
25,858
7.2
Small
Cap
Stock
112,575
12,030
–
101,664
6,600
1.5
Total
Affiliated
Registered
Investment
Companies
2,950,416
2,961,124
44.7
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
527,067
1,043,192
1,020,517
549,510
54,951
8.3
Total
Affiliated
Short-Term
Investments
527,067
549,510
8.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
30,577
544,487
509,841
65,223
65,223
1.0
Total
Collateral
Held
for
Securities
Loaned
30,577
65,223
1.0
Total
Value
$3,508,060
$3,575,857
*
Non-income
producing
security.
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$85
–
$2,840
Core
Emerging
Markets
Equity*
–
1,679
–
–
Core
International
Equity
(1,489)
(18,187)
–
–
Core
Low
Volatility
Equity
–
1,172
–
–
Global
Stock
–
(44,465)
40,143
6,778
High
Yield
–
(4,176)
–
2,398
Income
–
8,512
900
4,208
International
Allocation
(28,233)
(49,481)
8,054
15,555
International
Index*
–
4,859
–
–
Large
Cap
Value
–
(76,646)
9,566
8,478
Limited
Maturity
Bond
–
1,221
–
1,691
Mid
Cap
Stock
–
(23,644)
16,147
2,303
Small
Cap
Stock
–
(22,941)
11,319
711
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(61)
(171)
–
3,725
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$48,687
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
216
Total
Affiliated
Income
from
Securities
Loaned,
Net
$216
Total
Value
$(29,783)
$(222,183)
$86,129
*
Non-income
producing
security.
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
258
Principal
Amount
Bank
Loans
(
2.2%
)
a
Value
Basic
Materials
(0.1%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
503,412
4.756%,
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
482,773
Hexion,
Inc.,
Term
Loan
598,669
3.800%,
(LIBOR
3M
+
3.500%),
7/1/2026
b
588,192
Innophos
Holdings,
Inc.,
Term
Loan
597,000
3.897%,
(LIBOR
1M
+
3.750%),
2/7/2027
b,c
591,030
Nouryon
USA,
LLC,
Term
Loan
1,196,610
3.151%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
1,156,870
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
1,209,206
7.500%,
(LIBOR
1M
+
6.500%),
10/31/2024
b
1,203,160
PQ
Corporation,
Term
Loan
653,363
4.000%,
(LIBOR
3M
+
3.000%),
2/7/2027
b
649,442
Total
4,671,467
Capital
Goods
(0.2%)
Advanced
Disposal
Services,
Inc.,
Term
Loan
694,066
3.000%,
(LIBOR
1W
+
2.250%),
11/10/2023
b
692,331
Asplundh
Tree
Expert,
LLC,
Term
Loan
380,000
0.000%,
(LIBOR
1M
+
2.500%),
9/4/2027
b,d,e
379,289
Flex
Acquisition
Company,
Inc.
Term
Loan
1,316,914
3.546%,
(LIBOR
3M
+
3.250%),
6/29/2025
b
1,275,761
GFL
Environmental,
Inc.,
Term
Loan
1,859,555
4.000%,
(LIBOR
3M
+
3.000%),
5/31/2025
b
1,849,328
Graham
Packaging
Company,
Inc.,
Term
Loan
590,000
4.500%,
(LIBOR
1M
+
3.750%),
8/4/2027
b
585,823
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
926,906
3.523%,
(LIBOR
3M
+
3.250%),
4/3/2024
b
868,399
Navistar,
Inc.,
Term
Loan
1,501,500
3.660%,
(LIBOR
1M
+
3.500%),
11/6/2024
b
1,486,485
Reynolds
Group
Holdings,
Inc.,
Term
Loan
863,190
3.979%,
(LIBOR
1M
+
2.750%),
2/5/2023
b
851,649
625,000
0.000%,
(LIBOR
1M
+
3.250%),
2/16/2026
b,d,e
613,125
TransDigm,
Inc.,
Term
Loan
2,094,624
2.397%,
(LIBOR
1M
+
2.250%),
12/9/2025
b
1,976,801
Principal
Amount
Bank
Loans
(2.2%)
a
Value
Capital
Goods
(0.2%)
-
continued
Vertiv
Group
Corporation,
Term
Loan
$
2,014,875
3.157%,
(LIBOR
1M
+
3.000%),
3/2/2027
b
$
1,980,622
Total
12,559,613
Communications
Services
(0.5%)
Altice
France
SA,
Term
Loan
624,038
2.897%,
(LIBOR
1M
+
2.750%),
7/31/2025
b
594,358
CenturyLink,
Inc.,
Term
Loan
1,399,425
2.397%,
(LIBOR
1M
+
2.250%),
3/15/2027
b
1,342,203
Charter
Communications
Operating,
LLC,
Term
Loan
1,339,668
1.900%,
(LIBOR
1M
+
1.750%),
4/30/2025
b
1,314,389
CommScope,
Inc.,
Term
Loan
1,137,129
3.397%,
(LIBOR
1M
+
3.250%),
4/4/2026
b
1,106,062
Coral-US
Co-Borrower,
LLC,
Term
Loan
2,495,000
2.397%,
(LIBOR
1M
+
2.250%),
1/31/2028
b
2,410,220
Diamond
Sports
Group,
LLC,
Term
Loan
1,791,029
3.400%,
(LIBOR
1M
+
3.250%),
8/24/2026
b
1,382,084
Entercom
Media
Corporation,
Term
Loan
896,742
2.645%,
(LIBOR
1M
+
2.500%),
11/17/2024
b
841,817
GCI,
LLC,
Term
Loan
1,395,000
0.000%,
(LIBOR
1M
+
2.750%),
9/24/2025
b,c,d,e
1,384,537
Gray
Television,
Inc.,
Term
Loan
540,000
2.405%,
(LIBOR
1M
+
2.250%),
2/7/2024
b
527,753
HCP
Acquisition,
LLC,
Term
Loan
968,714
4.000%,
(LIBOR
1M
+
3.000%),
5/16/2024
b
961,652
iHeartCommunications,
Inc.,
Term
Loan
696,491
3.147%,
(LIBOR
1M
+
3.000%),
5/1/2026
b
659,382
Mediacom
Illinois,
LLC,
Term
Loan
244,922
1.860%,
(LIBOR
1W
+
1.750%),
2/15/2024
b
242,473
NEP
Group,
Inc.,
Term
Loan
1,483,575
3.397%,
(LIBOR
1M
+
3.250%),
10/20/2025
b
1,271,795
140,000
7.147%,
(LIBOR
1M
+
7.000%),
10/19/2026
b
109,200
Nexstar
Broadcasting,
Inc.,
Term
Loan
1,500,000
2.905%,
(LIBOR
1M
+
2.750%),
9/19/2026
b
1,465,005
Nielsen
Finance,
LLC,
Term
Loan
488,775
4.750%,
(LIBOR
1M
+
3.750%),
6/4/2025
b
487,797
Radiate
Holdco,
LLC,
Term
Loan
2,100,000
0.000%,
(LIBOR
1M
+
3.500%),
9/11/2026
b,d,e
2,060,625
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
259
Principal
Amount
Bank
Loans
(2.2%)
a
Value
Communications
Services
(0.5%)
-
continued
SBA
Senior
Finance
II,
LLC,
Term
Loan
$
1,074,214
1.900%,
(LIBOR
1M
+
1.750%),
4/11/2025
b
$
1,045,038
Terrier
Media
Buyer,
Inc.,
Term
Loan
794,000
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
773,300
319,200
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
310,023
T-Mobile
USA,
Inc.,
Term
Loan
1,496,250
3.147%,
(LIBOR
1M
+
3.000%),
4/1/2027
b
1,493,976
TNS,
Inc.,
Term
Loan
550,881
4.150%,
(LIBOR
1M
+
4.000%),
8/14/2022
b
546,061
Virgin
Media
Bristol,
LLC,
Term
Loan
710,000
0.000%,
(LIBOR
1M
+
3.250%),
1/10/2029
b,d,e
697,241
WideOpenWest
Finance,
LLC,
Term
Loan
1,115,896
4.250%,
(LIBOR
1M
+
3.250%),
8/19/2023
b
1,097,238
Windstream
Services,
LLC,
Term
Loan
1,861,405
0.000%,
(PRIME
+
5.000%),
3/30/2021
b,f
1,120,566
Xplornet
Communications,
Inc.,
Term
Loan
768,075
4.897%,
(LIBOR
1M
+
4.750%),
6/11/2027
b
752,237
Ziggo
Financing
Partnership,
Term
Loan
1,320,000
2.652%,
(LIBOR
1M
+
2.500%),
4/30/2028
b
1,268,111
Total
27,265,143
Consumer
Cyclical
(0.3%)
1011778
B.C.,
LLC,
Term
Loan
1,496,231
1.897%,
(LIBOR
1M
+
1.750%),
11/19/2026
b
1,432,013
Caesars
Resort
Collection,
LLC,
Term
Loan
1,175,000
0.000%,
(LIBOR
1M
+
4.500%),
7/20/2025
b,d,e
1,135,508
Cengage
Learning,
Inc.,
Term
Loan
583,295
5.250%,
(LIBOR
3M
+
4.250%),
6/7/2023
b
486,217
Four
Seasons
Hotels,
Ltd.,
Term
Loan
913,889
2.147%,
(LIBOR
1M
+
2.000%),
11/30/2023
b
887,615
Golden
Entertainment,
Inc.,
Term
Loan
1,992,725
3.750%,
(LIBOR
1M
+
3.000%),
10/20/2024
b
1,905,543
Golden
Nugget,
LLC,
Term
Loan
590,020
3.250%,
(LIBOR
2M
+
2.500%),
10/4/2023
b
524,493
LCPR
Loan
Financing,
LLC,
Term
Loan
2,345,000
5.152%,
(LIBOR
1M
+
5.000%),
10/15/2026
b
2,340,123
Principal
Amount
Bank
Loans
(2.2%)
a
Value
Consumer
Cyclical
(0.3%)
-
continued
Men's
Warehouse,
Inc.,
Term
Loan
$
989,281
4.250%,
(LIBOR
1M
+
3.250%),
4/9/2025
b,g
$
296,784
Michaels
Stores,
Inc.,
Term
Loan
835,000
0.000%,
(LIBOR
1M
+
3.500%),
9/17/2027
b,c,d,e
814,125
Penn
National
Gaming,
Inc.,
Term
Loan
1,149,525
3.000%,
(LIBOR
1M
+
2.250%),
10/15/2025
b
1,115,453
Scientific
Games
International,
Inc.,
Term
Loan
3,782,754
3.471%,
(LIBOR
1M
+
2.750%),
8/14/2024
b
3,550,531
Staples,
Inc.,
Term
Loan
199,944
4.751%,
(LIBOR
3M
+
4.500%),
9/12/2024
b
187,613
1,118,452
5.251%,
(LIBOR
3M
+
5.000%),
4/12/2026
b
1,037,711
Stars
Group
Holdings
BV,
Term
Loan
1,230,663
3.720%,
(LIBOR
3M
+
3.500%),
7/10/2025
b
1,226,479
Tenneco,
Inc.,
Term
Loan
592,050
3.147%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
532,478
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
632,100
1.897%,
(LIBOR
1M
+
1.750%),
5/30/2025
b
608,592
Total
18,081,278
Consumer
Non-Cyclical
(0.4%)
Bausch
Health
Americas,
Inc.,
Term
Loan
1,786,959
3.151%,
(LIBOR
1M
+
3.000%),
6/1/2025
b
1,749,362
Bellring
Brands,
LLC,
Term
Loan
350,886
6.000%,
(LIBOR
1M
+
5.000%),
10/21/2024
b
351,033
Change
Healthcare
Holdings,
LLC,
Term
Loan
710,547
3.500%,
(LIBOR
1M
+
2.500%),
3/1/2024
b
694,673
Dole
Food
Company,
Inc.,
Term
Loan
1,192,059
3.750%,
(LIBOR
1M
+
2.750%),
4/6/2024
b,d,e
1,172,938
Endo
International
plc,
Term
Loan
634,440
5.000%,
(LIBOR
3M
+
4.250%),
4/27/2024
b
602,719
Energizer
Holdings,
Inc.,
Term
Loan
487,492
2.438%,
(LIBOR
1M
+
2.250%),
12/17/2025
b
478,961
Froneri
U.S.,
Inc.,
Term
Loan
420,000
0.000%,
(LIBOR
1M
+
2.250%),
1/31/2027
b,d,e
402,751
Global
Medical
Response,
Inc.,
Term
Loan
2,987,667
4.250%,
(LIBOR
3M
+
3.250%),
4/28/2022
b
2,976,941
2,980,000
0.000%,
(LIBOR
1M
+
4.750%),
9/24/2025
b,d,e
2,910,149
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
260
Principal
Amount
Bank
Loans
(2.2%)
a
Value
Consumer
Non-Cyclical
(0.4%)
-
continued
IQVIA,
Inc.,
Term
Loan
$
328,308
1.897%,
(LIBOR
1M
+
1.750%),
1/1/2025
b
$
323,452
JBS
USA
LUX
SA,
Term
Loan
1,260,800
2.147%,
(LIBOR
1M
+
2.000%),
5/1/2026
b
1,224,867
MPH
Acquisition
Holdings,
LLC,
Term
Loan
3,020,000
3.750%,
(LIBOR
3M
+
2.750%),
6/7/2023
b
2,968,237
Ortho-Clinical
Diagnostics
SA,
Term
Loan
3,011,130
3.406%,
(LIBOR
1M
+
3.250%),
6/30/2025
b
2,877,135
Plantronics,
Inc.,
Term
Loan
719,280
2.647%,
(LIBOR
1M
+
2.500%),
7/2/2025
b
674,023
Sotera
Health
Holdings,
LLC,
Term
Loan
850,725
5.500%,
(LIBOR
3M
+
4.500%),
12/13/2026
b
846,471
US
Foods,
Inc.,
Term
Loan
477,506
1.897%,
(LIBOR
1M
+
1.750%),
6/27/2023
b
458,406
Total
20,712,118
Energy
(0.1%)
BCP
Raptor
II,
LLC,
Term
Loan
923,312
4.897%,
(LIBOR
1M
+
4.750%),
11/3/2025
b
643,244
Buckeye
Partners,
LP,
Term
Loan
956,322
2.897%,
(LIBOR
1M
+
2.750%),
11/1/2026
b,d,e
937,196
Calpine
Corporation,
Term
Loan
1,129,246
2.400%,
(LIBOR
1M
+
2.250%),
1/15/2024
b
1,097,390
Illuminate
Buyer,
LLC,
Term
Loan
675,000
4.147%,
(LIBOR
1M
+
4.000%),
6/30/2027
b
668,675
Lealand
Finance
Company
BV,
Term
Loan
247,726
0.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b
184,969
Total
3,531,474
Financials
(0.2%)
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
717,274
2.500%,
(LIBOR
1M
+
1.750%),
1/15/2025
b
696,251
BPR
Nimbus,
LLC,
Term
Loan
1,131,552
2.647%,
(LIBOR
1M
+
2.500%),
8/24/2025
b
914,135
Delos
Finance
SARL,
Term
Loan
600,000
1.970%,
(LIBOR
3M
+
1.750%),
10/6/2023
b
585,300
INEOS
U.S.
Finance,
LLC,
Term
Loan
477,545
2.147%,
(LIBOR
1M
+
2.000%),
3/31/2024
b
463,085
Level
3
Financing,
Inc.,
Term
Loan
1,355,000
1.897%,
(LIBOR
1M
+
1.750%),
3/1/2027
b
1,311,383
Principal
Amount
Bank
Loans
(2.2%)
a
Value
Financials
(0.2%)
-
continued
MoneyGram
International,
Inc.,
Term
Loan
$
839,375
7.000%,
(LIBOR
3M
+
6.000%),
6/30/2023
b
$
817,341
Newco
Financing
Partnership,
Term
Loan
952,500
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
922,972
Northriver
Midstream
Finance,
LP,
Term
Loan
821,616
3.546%,
(LIBOR
3M
+
3.250%),
10/1/2025
b
792,728
Tronox
Finance,
LLC,
Term
Loan
1,543,085
3.177%,
(LIBOR
3M
+
3.000%),
9/22/2024
b
1,516,637
UPC
Financing
Partnership,
Term
Loan
952,500
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
922,973
Vericast
Corporation,
Term
Loan
296,012
5.750%,
(LIBOR
3M
+
4.750%),
11/3/2023
b,d,e
241,214
Total
9,184,019
Technology
(0.2%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
1,641,333
3.761%,
(LIBOR
3M
+
3.500%),
8/21/2026
b,d,e
1,489,920
Prime
Security
Services
Borrower,
LLC,
Term
Loan
2,929,091
4.250%,
(LIBOR
1M
+
3.250%),
9/23/2026
b
2,899,272
Rackspace
Technology
Global,
Inc.,
Term
Loan
2,664,241
4.000%,
(LIBOR
3M
+
3.000%),
11/3/2023
b
2,610,636
SS&C
Technologies,
Inc.,
Term
Loan
485,693
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
469,505
344,020
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
332,554
1,107,111
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
1,071,130
Western
Digital
Corporation,
Term
Loan
1,354,664
1.898%,
(LIBOR
1M
+
1.750%),
4/29/2023
b
1,341,605
Zayo
Group
Holdings,
Inc.,
Term
Loan
1,910,400
3.147%,
(LIBOR
1M
+
3.000%),
3/9/2027
b
1,851,388
Total
12,066,010
Transportation
(0.1%)
Delta
Air
Lines,
Inc.,
Term
Loan
428,925
5.750%,
(LIBOR
3M
+
4.750%),
4/29/2023
b
427,853
Genesee
&
Wyoming,
Inc.,
Term
Loan
1,194,000
2.220%,
(LIBOR
3M
+
2.000%),
12/30/2026
b
1,173,296
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
261
Principal
Amount
Bank
Loans
(2.2%)
a
Value
Transportation
(0.1%)
-
continued
Mileage
Plus
Holdings,
LLC,
Term
Loan
$
655,000
6.250%,
(LIBOR
3M
+
5.250%),
6/20/2027
b
$
665,192
SkyMiles
IP,
Ltd.,
Term
Loan
450,000
0.000%,
(LIBOR
1M
+
3.750%),
10/20/2027
b,d,e
452,974
United
Airlines,
Inc.,
Term
Loan
893,059
1.895%,
(LIBOR
1M
+
1.750%),
4/1/2024
b
840,217
Total
3,559,532
Utilities
(0.1%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
252,784
2.438%,
(LIBOR
1M
+
2.250%),
9/24/2026
b
251,943
Core
and
Main,
LP,
Term
Loan
904,425
3.750%,
(LIBOR
3M
+
2.750%),
8/1/2024
b
884,356
EnergySolutions,
LLC,
Term
Loan
728,237
4.750%,
(LIBOR
3M
+
3.750%),
5/11/2025
b
693,646
Pacific
Gas
&
Electric
Company,
Term
Loan
1,491,263
5.500%,
(LIBOR
1M
+
4.500%),
1/1/2022
b
1,458,947
Talen
Energy
Supply,
LLC,
Term
Loan
517,275
3.897%,
(LIBOR
1M
+
3.750%),
7/8/2026
b
509,945
Total
3,798,837
Total
Bank
Loans
(cost
$119,470,693)
115,429,491
Principal
Amount
Long-Term
Fixed
Income
(
40.7%
)
Value
Asset-Backed
Securities
(1.8%)
Access
Group,
Inc.
460,076
0.675%,
(LIBOR
1M
+
0.500%),
2/25/2036,
Ser.
2013-1,
Class
A
b,h
450,775
Aimco
2,150,000
1.578%,
(LIBOR
3M
+
1.320%),
7/22/2032,
Ser.
2019-10A,
Class
A
b,h
2,125,060
Aimco
CLO,
Ltd.
3,475,000
1.628%,
(LIBOR
3M
+
1.380%),
10/15/2031,
Ser.
2020-11A,
Class
A1
b,e,h
3,475,000
Ares
CLO,
Ltd.
3,000,000
1.673%,
(LIBOR
3M
+
1.400%),
10/17/2030,
Ser.
2018-28RA,
Class
A2
b,h
2,967,168
Ares
XXXIIR
CLO,
Ltd.
1,500,000
1.220%,
(LIBOR
3M
+
0.940%),
5/15/2030,
Ser.
2014-32RA,
Class
A1A
b,h
1,475,520
Benefit
Street
Partners
CLO
IV,
Ltd.
2,200,000
2.022%,
(LIBOR
3M
+
1.750%),
1/20/2029,
Ser.
2014-IVA,
Class
A2RR
b,h
2,189,757
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Asset-Backed
Securities
(1.8%)
-
continued
Buttermilk
Park
CLO,
Ltd.
$
5,250,000
1.675%,
(LIBOR
3M
+
1.400%),
10/15/2031,
Ser.
2018-1A,
Class
A2
b,h
$
5,180,695
Carlyle
Global
Market
Strategies
CLO,
Ltd.
3,425,000
1.725%,
(LIBOR
3M
+
1.450%),
7/15/2031,
Ser.
2014-5A,
Class
A2RR
b,h
3,338,700
Carvana
Auto
Receivables
Trust
150,000
2.340%,
6/15/2023,
Ser.
2019-3A,
Class
A3
h
151,433
CBAM,
Ltd.
3,500,000
1.555%,
(LIBOR
3M
+
1.280%),
2/12/2030,
Ser.
2019-9A,
Class
A
b,h
3,488,569
CIFC
Funding,
Ltd.
1,225,000
1.848%,
(LIBOR
3M
+
1.600%),
10/20/2031,
Ser.
2020-3A,
Class
A2
b,e,h
1,224,871
Colony
American
Finance
Trust
3,369,770
2.835%,
6/15/2052,
Ser.
2019-2,
Class
A
h
3,550,042
Commonbond
Student
Loan
Trust
706,668
0.648%,
(LIBOR
1M
+
0.500%),
2/25/2044,
Ser.
2018-AGS,
Class
A2
b,h
696,069
CoreVest
American
Finance
Trust
3,952,186
2.705%,
10/15/2052,
Ser.
2019-3,
Class
A
h
4,098,401
DRB
Prime
Student
Loan
Trust
293,098
2.048%,
(LIBOR
1M
+
1.900%),
10/27/2031,
Ser.
2015-B,
Class
A1
b,h
294,156
Dryden
Senior
Loan
Fund
3,000,000
1.672%,
(LIBOR
3M
+
1.400%),
7/18/2030,
Ser.
2018-65A,
Class
A2
b,h
2,968,497
Earnest
Student
Loan
Program
2016-D,
LLC
412,193
2.720%,
1/25/2041,
Ser.
2016-D,
Class
A2
h
416,550
Earnest
Student
Loan
Program,
LLC
383,956
3.020%,
5/25/2034,
Ser.
2016-B,
Class
A2
h
387,263
ECMC
Group
Student
Loan
Trust
1,650,000
1.510%,
(LIBOR
1M
+
1.150%),
11/25/2069,
Ser.
2020-2A,
Class
A
b,h
1,649,999
Galaxy
XX
CLO,
Ltd.
2,650,000
1.272%,
(LIBOR
3M
+
1.000%),
4/20/2031,
Ser.
2015-20A,
Class
AR
b,h
2,610,934
Golub
Capital
Partners,
Ltd.
1,750,000
1.452%,
(LIBOR
3M
+
1.180%),
1/20/2031,
Ser.
2015-22A,
Class
AR
b,h
1,712,946
2,569,000
1.472%,
(LIBOR
3M
+
1.200%),
1/20/2031,
Ser.
2015-23A,
Class
AR
b,h
2,513,312
Goodgreen
2,801,028
3.860%,
10/15/2054,
Ser.
2019-1A,
Class
A
h
2,965,718
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
262
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Asset-Backed
Securities
(1.8%)
-
continued
Home
Partners
of
America
Trust
$
3,810,611
2.908%,
9/17/2039,
Ser.
2019-1,
Class
A
h
$
3,955,795
3,772,973
2.703%,
10/19/2039,
Ser.
2019-2,
Class
A
h
3,979,538
Laurel
Road
Prime
Student
Loan
Trust
979,458
2.810%,
11/25/2042,
Ser.
2017-C,
Class
A2B
h
1,004,513
2,163,996
5.600%,
11/25/2043,
Ser.
2018-D,
Class
A
b,h
2,251,546
Madison
Park
Funding
XIV,
Ltd.
2,375,000
1.658%,
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,h
2,325,125
Magnetite
XII,
Ltd.
2,600,000
1.375%,
(LIBOR
3M
+
1.100%),
10/15/2031,
Ser.
2015-12A,
Class
ARR
b,h
2,571,660
Mountain
View
CLO,
Ltd.
1,825,000
1.395%,
(LIBOR
3M
+
1.120%),
7/15/2031,
Ser.
2015-9A,
Class
A1R
b,h
1,778,570
National
Collegiate
Trust
1,179,759
0.443%,
(LIBOR
1M
+
0.295%),
5/25/2031,
Ser.
2007-A,
Class
A
b,h
1,144,801
Neuberger
Berman
CLO
XIV,
Ltd.
2,375,000
1.277%,
(LIBOR
3M
+
1.030%),
1/28/2030,
Ser.
2013-14A,
Class
AR2
b,h
2,351,269
Neuberger
Berman
CLO,
Ltd.
1,000,000
1.288%,
(LIBOR
3M
+
1.030%),
4/22/2029,
Ser.
2014-17A,
Class
AR2
b,h
990,419
Octagon
Investment
Partners
XVI,
Ltd.
600,000
1.673%,
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2013-1A,
Class
A2R
b,h
589,183
OneMain
Financial
Issuance
Trust
2,730,000
3.840%,
5/14/2032,
Ser.
2020-1A,
Class
A
h
2,871,120
OZLM
VIII,
Ltd.
818,800
1.443%,
(LIBOR
3M
+
1.170%),
10/17/2029,
Ser.
2014-8A,
Class
A1RR
b,h
809,688
Palmer
Square
Loan
Funding,
Ltd.
2,241,356
1.122%,
(LIBOR
3M
+
0.850%),
1/20/2027,
Ser.
2018-5A,
Class
A1
b,h
2,226,133
1,700,000
1.922%,
(LIBOR
3M
+
1.650%),
4/20/2027,
Ser.
2019-1A,
Class
A2
b,h
1,699,361
PPM
CLO
3,
Ltd.
2,000,000
1.673%,
(LIBOR
3M
+
1.400%),
7/17/2030,
Ser.
2019-3A,
Class
A
b,h
1,981,596
Pretium
Mortgage
Credit
Partners,
LLC
2,137,559
3.721%,
2/27/2060,
Ser.
2020-NPL2,
Class
A1
h,i
2,140,907
Progress
Residential
Trust
1,998,027
3.422%,
8/17/2035,
Ser.
2019-SFR1,
Class
A
h
2,065,845
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Asset-Backed
Securities
(1.8%)
-
continued
Saxon
Asset
Securities
Trust
$
860,035
3.639%,
8/25/2035,
Ser.
2004-2,
Class
MF2
b
$
868,643
Shackleton
CLO,
Ltd.
1,750,000
1.445%,
(LIBOR
3M
+
1.170%),
7/15/2031,
Ser.
2015-7RA,
Class
A1
b,h
1,720,208
SLM
Student
Loan
Trust
1,052,951
0.548%,
(LIBOR
1M
+
0.400%),
3/25/2025,
Ser.
2010-1,
Class
A
b
1,005,653
THL
Credit
Wind
River
CLO,
Ltd.
950,000
1.652%,
(LIBOR
3M
+
1.430%),
10/20/2033,
Ser.
2020-1A,
Class
A
b,e,h
950,000
U.S.
Small
Business
Administration
98,230
3.191%,
3/10/2024,
Ser.
2014-10A,
Class
1
101,561
Voya
CLO,
Ltd.
1,497,660
1.475%,
(LIBOR
3M
+
1.200%),
10/15/2030,
Ser.
2012-4A,
Class
A1AR
b,h
1,476,612
Whitebox
CLO
II,
Ltd.
1,350,000
2.492%,
(LIBOR
3M
+
2.250%),
10/24/2031,
Ser.
2020-2A,
Class
B
b,h
1,350,269
Total
94,141,450
Basic
Materials
(0.4%)
Air
Products
and
Chemicals,
Inc.
1,150,000
2.700%,
5/15/2040
1,222,320
Alcoa
Nederland
Holding
BV
540,000
5.500%,
12/15/2027
h
562,788
Anglo
American
Capital
plc
720,000
4.875%,
5/14/2025
h
819,925
BWAY
Holding
Company
490,000
5.500%,
4/15/2024
h
491,735
Cleveland-Cliffs,
Inc.
370,000
5.750%,
3/1/2025
j
344,100
320,000
9.875%,
10/17/2025
h
357,200
Dow
Chemical
Company
600,000
4.800%,
11/30/2028
721,630
DowDuPont,
Inc.
1,275,000
4.493%,
11/15/2025
1,466,131
EI
du
Pont
de
Nemours
&
Company
675,000
2.300%,
7/15/2030
715,626
First
Quantum
Minerals,
Ltd.
695,000
7.500%,
4/1/2025
h
687,432
Freeport-McMoRan,
Inc.
490,000
4.125%,
3/1/2028
496,125
520,000
4.250%,
3/1/2030
533,000
Glencore
Funding,
LLC
560,000
4.125%,
5/30/2023
h
600,370
725,000
4.000%,
3/27/2027
h
791,329
International
Paper
Company
1,420,000
4.350%,
8/15/2048
1,734,341
Kinross
Gold
Corporation
470,000
5.950%,
3/15/2024
535,954
900,000
4.500%,
7/15/2027
1,020,291
Krayton
Polymers,
LLC
670,000
7.000%,
4/15/2025
h
683,400
Methanex
Corporation
780,000
5.250%,
12/15/2029
771,225
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
263
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Basic
Materials
(0.4%)
-
continued
Norbord,
Inc.
$
710,000
5.750%,
7/15/2027
h
$
749,973
Novelis
Corporation
830,000
5.875%,
9/30/2026
h
852,825
210,000
4.750%,
1/30/2030
h
204,954
OCI
NV
600,000
4.625%,
10/15/2025
e,h
600,000
Olin
Corporation
805,000
5.125%,
9/15/2027
796,950
Peabody
Securities
Finance
Corporation
630,000
6.375%,
3/31/2025
h
252,000
Syngenta
Finance
NV
1,200,000
3.933%,
4/23/2021
h
1,215,474
Teck
Resources,
Ltd.
964,000
6.125%,
10/1/2035
1,151,395
Tronox
Finance
plc
760,000
5.750%,
10/1/2025
h
748,600
Vale
Overseas,
Ltd.
840,000
6.250%,
8/10/2026
993,300
401,000
6.875%,
11/21/2036
520,799
Total
22,641,192
Capital
Goods
(0.6%)
AECOM
1,280,000
5.125%,
3/15/2027
1,382,554
Amsted
Industries,
Inc.
925,000
5.625%,
7/1/2027
h
984,033
Ardagh
Packaging
Finance
plc
360,000
6.000%,
2/15/2025
h
373,788
280,000
5.250%,
8/15/2027
h
285,320
BAE
Systems
plc
1,450,000
1.900%,
2/15/2031
h
1,435,070
Berry
Global,
Inc.
470,000
4.875%,
7/15/2026
h
492,912
Carrier
Global
Corporation
875,000
2.700%,
2/15/2031
h
910,938
Cintas
Corporation
No.
2
840,000
3.700%,
4/1/2027
967,918
CNH
Industrial
Capital,
LLC
1,120,000
4.875%,
4/1/2021
1,141,610
CNH
Industrial
NV
700,000
3.850%,
11/15/2027
756,399
Covanta
Holding
Corporation
650,000
6.000%,
1/1/2027
676,000
135,000
5.000%,
9/1/2030
136,255
Crown
Cork
&
Seal
Company,
Inc.
1,100,000
7.375%,
12/15/2026
1,307,768
Emerson
Electric
Company
1,150,000
1.800%,
10/15/2027
1,199,095
H&E
Equipment
Services,
Inc.
530,000
5.625%,
9/1/2025
552,525
Ingersoll-Rand
Luxembourg
Finance
SA
1,225,000
3.500%,
3/21/2026
1,370,021
Jeld-Wen,
Inc.
500,000
4.625%,
12/15/2025
h
502,500
L3Harris
Technologies,
Inc.
1,656,000
3.950%,
5/28/2024
1,824,011
Lockheed
Martin
Corporation
586,000
3.600%,
3/1/2035
702,769
1,024,000
4.500%,
5/15/2036
1,299,876
284,000
6.150%,
9/1/2036
420,429
Northrop
Grumman
Corporation
1,960,000
3.850%,
4/15/2045
2,286,552
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Capital
Goods
(0.6%)
-
continued
Republic
Services,
Inc.
$
850,000
2.900%,
7/1/2026
$
939,778
Reynolds
Group
Issuer,
Inc.
1,270,000
5.125%,
7/15/2023
h
1,285,875
Roper
Technologies,
Inc.
750,000
1.400%,
9/15/2027
757,197
564,000
4.200%,
9/15/2028
672,898
750,000
1.750%,
2/15/2031
748,128
Siemens
Financieringsmaatschappij
NV
455,000
4.200%,
3/16/2047
h
592,732
Standard
Industries,
Inc.
980,000
4.375%,
7/15/2030
h
1,004,760
Textron,
Inc.
710,000
3.375%,
3/1/2028
766,233
TransDigm,
Inc.
370,000
6.250%,
3/15/2026
h
387,963
1,030,000
5.500%,
11/15/2027
989,882
United
Rentals
North
America,
Inc.
1,370,000
4.000%,
7/15/2030
1,400,825
United
Technologies
Corporation
775,000
4.450%,
11/16/2038
952,755
1,000,000
3.750%,
11/1/2046
1,142,922
WESCO
Distribution,
Inc.
210,000
7.250%,
6/15/2028
h
230,092
Total
32,880,383
Collateralized
Mortgage
Obligations
(1.4%)
Ajax
Mortgage
Loan
Trust
2,669,717
4.360%,
9/25/2065,
Ser.
2018-C,
Class
A
b,h
2,713,023
Alternative
Loan
Trust
877,277
6.000%,
8/1/2036,
Ser.
2006-24CB,
Class
A9
710,094
Angel
Oak
Mortgage
Trust
I,
LLC
915,521
3.500%,
7/25/2046,
Ser.
2016-1,
Class
A1
h
951,802
Bellemeade
Re,
Ltd.
448,038
1.748%,
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,h
443,629
605,574
1.248%,
(LIBOR
1M
+
1.100%),
7/25/2029,
Ser.
2019-3A,
Class
M1A
b,h
604,354
2,725,000
2.798%,
(LIBOR
1M
+
2.650%),
6/25/2030,
Ser.
2020-1A,
Class
M1A
b,h
2,730,601
BRAVO
Residential
Funding
Trust
377,753
3.500%,
3/25/2058,
Ser.
2019-1,
Class
A1C
h
390,045
Citicorp
Mortgage
Securities,
Inc.
2,109,725
6.000%,
7/25/2037,
Ser.
2007-6,
Class
1A4
2,066,659
Citigroup
Mortgage
Loan
Trust,
Inc.
230,998
5.500%,
11/25/2035,
Ser.
2005-9,
Class
21A2
236,573
Countrywide
Alternative
Loan
Trust
881,981
3.201%,
10/25/2035,
Ser.
2005-43,
Class
4A1
b
838,873
603,169
6.500%,
8/25/2036,
Ser.
2006-23CB,
Class
2A3
337,527
1,289,823
7.000%,
10/25/2037,
Ser.
2007-24,
Class
A10
725,611
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
264
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Collateralized
Mortgage
Obligations
(1.4%)
-
continued
Countrywide
Home
Loans,
Inc.
$
274,116
5.750%,
4/25/2037,
Ser.
2007-3,
Class
A27
$
203,878
Credit
Suisse
Mortgage
Capital
Certificates
1,535,026
3.393%,
2/25/2024,
Ser.
2020-BPL1,
Class
A1
h,i
1,535,678
Credit
Suisse
Mortgage
Trust
2,980,493
3.850%,
9/25/2057,
Ser.
2018-RPL9,
Class
A1
b,h
3,200,424
6,109,422
3.507%,
2/25/2060,
Ser.
2020-RPL2,
Class
A12
b,h
6,112,466
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
118,612
6.000%,
10/25/2021,
Ser.
2006-AR5,
Class
23A
104,335
Ellington
Financial
Mortgage
Trust
1,369,409
4.140%,
10/25/2058,
Ser.
2018-1,
Class
A1FX
b,h
1,403,790
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
1,641,003
4.000%,
7/15/2031,
Ser.
4104,
Class
KI
k
97,271
2,463,091
3.000%,
2/15/2033,
Ser.
4170,
Class
IG
k
236,255
2,850,406
3.000%,
3/15/2033,
Ser.
4180,
Class
PI
k
287,354
Federal
National
Mortgage
Association
-
REMIC
5,129,937
3.000%,
12/25/2027,
Ser.
2012-137,
Class
AI
k
309,094
FWD
Securitization
Trust
2,280,265
2.810%,
6/25/2049,
Ser.
2019-INV1,
Class
A1
b,h
2,333,120
Galton
Funding
Mortgage
Trust
2017-1
1,375,046
4.500%,
10/25/2058,
Ser.
2018-2,
Class
A41
b,h
1,405,272
GCAT
Trust
132,930
2.985%,
2/25/2059,
Ser.
2019-NQM1,
Class
A1
h,i
134,992
Greenpoint
Mortgage
Funding
Trust
733,268
0.348%,
(LIBOR
1M
+
0.200%),
10/25/2045,
Ser.
2005-AR4,
Class
G41B
b
645,669
GS
Mortgage-Backed
Securities
Trust
776,523
2.625%,
1/25/2059,
Ser.
2019-SL1,
Class
A1
b,h
789,799
Legacy
Mortgage
Asset
Trust
580,913
3.250%,
2/25/2060,
Ser.
2020-GS4,
Class
A1
h,i
589,253
MASTR
Alternative
Loans
Trust
1,087,972
0.598%,
(LIBOR
1M
+
0.450%),
12/25/2035,
Ser.
2005-6,
Class
2A1
b
184,411
Merrill
Lynch
Alternative
Note
Asset
Trust
230,058
6.000%,
3/25/2037,
Ser.
2007-F1,
Class
2A1
152,898
MFA
NQM1
Trust
968,727
1.787%,
8/25/2049,
Ser.
2020-NQM1,
Class
A2
b,h
973,686
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Collateralized
Mortgage
Obligations
(1.4%)
-
continued
MFRA
Trust
$
1,512,822
4.164%,
7/25/2048,
Ser.
2018-NPL2,
Class
A1
h,i
$
1,514,855
New
Residential
Mortgage
Loan
Trust
1,939,089
4.335%,
7/25/2060,
Ser.
2020-NPL1,
Class
A1
h,i
1,941,410
Preston
Ridge
Partners
Mortgage
Trust,
LLC
2,238,912
4.500%,
1/25/2024,
Ser.
2019-1A,
Class
A1
h,i
2,256,068
1,905,807
3.500%,
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,h
1,908,278
RCO
Mortgage,
LLC
3,484,513
3.475%,
11/25/2024,
Ser.
2019-2,
Class
A1
h,i
3,476,465
1,491,829
3.197%,
11/25/2052,
Ser.
2017-INV1,
Class
A
b,h
1,512,259
1,074,130
4.270%,
12/26/2053,
Ser.
2018-VFS1,
Class
A1
b,h
1,129,396
Renaissance
Home
Equity
Loan
Trust
2,237,227
5.580%,
11/25/2036,
Ser.
2006-3,
Class
AF2
i
1,237,948
Residential
Accredit
Loans,
Inc.
Trust
940,766
6.000%,
8/25/2035,
Ser.
2005-QS10,
Class
2A
941,634
306,114
5.750%,
9/25/2035,
Ser.
2005-QS13,
Class
2A3
305,884
Residential
Asset
Securitization
Trust
1,176,938
5.375%,
7/25/2035,
Ser.
2005-A8CB,
Class
A9
1,036,714
Sequoia
Mortgage
Trust
1,056,333
3.426%,
9/20/2046,
Ser.
2007-1,
Class
4A1
b
815,914
Silver
Hill
Trust
1,190,040
3.102%,
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,h
1,209,436
Starwood
Mortgage
Residential
Trust
951,094
2.718%,
4/25/2060,
Ser.
2020-2,
Class
A1
b,h
954,841
Toorak
Mortgage
Corporation
2,450,000
4.458%,
3/25/2022,
Ser.
2019-1,
Class
A1
h,i
2,506,739
Vericrest
Opportunity
Loan
Transferee
1,976,198
3.352%,
8/25/2049,
Ser.
2019-NPL4,
Class
A1A
h,i
1,978,166
Verus
Securitization
Trust
416,864
2.853%,
1/25/2047,
Ser.
2017-1A,
Class
A1
b,h
417,610
376,719
3.836%,
2/25/2059,
Ser.
2019-1,
Class
A1
b,h
381,836
314,751
3.211%,
5/25/2059,
Ser.
2019-2,
Class
A1
b,h
321,834
779,553
3.345%,
5/25/2059,
Ser.
2019-2,
Class
A2
b,h
794,699
2,479,648
2.913%,
7/25/2059,
Ser.
2019-INV2,
Class
A1
b,h
2,536,024
1,516,889
2.947%,
11/25/2059,
Ser.
2019-INV3,
Class
A2
b,h
1,544,078
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
265
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Collateralized
Mortgage
Obligations
(1.4%)
-
continued
$
1,417,943
1.977%,
3/25/2060,
Ser.
2020-INV1,
Class
A1
b,h
$
1,433,366
5,156,857
3.626%,
4/25/2060,
Ser.
2020-3,
Class
A1
b,h
5,292,908
1,571,685
2.226%,
5/25/2060,
Ser.
2020-2,
Class
A1
b,h
1,586,353
WaMu
Mortgage
Pass
Through
Certificates
163,560
3.309%,
9/25/2036,
Ser.
2006-AR10,
Class
1A2
b
153,987
161,344
3.671%,
10/25/2036,
Ser.
2006-AR12,
Class
1A1
b
155,831
Total
72,792,969
Commercial
Mortgage-Backed
Securities
(0.3%)
BFLD
Trust
2,250,000
1.350%,
(LIBOR
1M
+
1.150%),
10/15/2022,
Ser.
2020-EYP,
Class
A
b,e,h
2,250,000
825,000
1.800%,
(LIBOR
1M
+
1.700%),
10/15/2022,
Ser.
2020-EYP,
Class
B
b,e,h
825,000
Federal
Home
Loan
Mortgage
Corporation
Multifamily
Structured
Pass
Through
Certificates
1,278,462
3.000%,
3/15/2045,
Ser.
4741,
Class
GA
1,323,623
Federal
National
Mortgage
Association
-
ACES
23,997,638
1.895%,
12/25/2028,
Ser.
2020-M11,
Class
IO
b,k
2,836,823
GS
Mortgage
Securities
Trust
4,000,000
3.666%,
9/10/2047,
Ser.
2014-GC24,
Class
A4
4,325,430
Morgan
Stanley
Capital
I
Trust
14,894,825
1.973%,
7/15/2053,
Ser.
2020-HR8,
Class
XA
b,k
2,224,649
UBS
Commercial
Mortgage
Trust
2,600,000
2.921%,
10/15/2052,
Ser.
2019-C17,
Class
A4
2,859,972
Total
16,645,497
Communications
Services
(1.4%)
Altice
France
SA
420,000
5.500%,
1/15/2028
h
425,250
American
Tower
Corporation
700,000
2.900%,
1/15/2030
755,554
1,150,000
2.100%,
6/15/2030
1,161,149
AT&T,
Inc.
1,129,000
3.500%,
9/15/2053
h
1,099,912
1,200,000
2.300%,
6/1/2027
1,258,789
1,550,000
4.350%,
3/1/2029
1,819,328
822,000
4.300%,
2/15/2030
973,207
1,100,000
5.250%,
3/1/2037
1,376,423
1,090,000
4.900%,
8/15/2037
1,315,187
450,000
5.550%,
8/15/2041
583,287
1,975,000
3.100%,
2/1/2043
1,926,727
British
Telecommunications
plc
1,225,000
4.500%,
12/4/2023
1,355,463
CCO
Holdings,
LLC
570,000
5.500%,
5/1/2026
h
594,225
640,000
5.125%,
5/1/2027
h
673,421
1,530,000
4.750%,
3/1/2030
h
1,619,888
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Communications
Services
(1.4%)
-
continued
$
510,000
4.500%,
8/15/2030
h
$
535,523
280,000
4.250%,
2/1/2031
h
290,052
Charter
Communications
Operating,
LLC
700,000
4.500%,
2/1/2024
776,060
1,400,000
4.200%,
3/15/2028
1,589,710
1,320,000
6.484%,
10/23/2045
1,759,576
Comcast
Corporation
1,325,000
4.950%,
10/15/2058
1,896,612
850,000
4.049%,
11/1/2052
1,041,348
750,000
3.950%,
10/15/2025
860,077
1,250,000
4.250%,
10/15/2030
1,534,369
690,000
4.400%,
8/15/2035
872,647
1,115,000
4.750%,
3/1/2044
1,462,915
550,000
4.600%,
8/15/2045
708,063
Cox
Communications,
Inc.
1,400,000
3.350%,
9/15/2026
h
1,556,456
Crown
Castle
International
Corporation
792,000
5.250%,
1/15/2023
870,221
836,000
3.200%,
9/1/2024
901,454
CSC
Holdings,
LLC
400,000
4.125%,
12/1/2030
h
407,700
2,100,000
4.625%,
12/1/2030
h
2,109,933
Discovery
Communications,
LLC
1,420,000
4.900%,
3/11/2026
1,658,827
Embarq
Corporation
700,000
7.995%,
6/1/2036
828,842
Entercom
Media
Corporation
360,000
6.500%,
5/1/2027
h
313,200
Fox
Corporation
680,000
3.500%,
4/8/2030
766,351
Front
Range
BidCo,
Inc.
870,000
4.000%,
3/1/2027
h
856,276
GCI,
LLC
400,000
4.750%,
10/15/2028
e,h
405,004
Gray
Television,
Inc.
670,000
5.875%,
7/15/2026
h
695,125
iHeartCommunications,
Inc.
400,000
4.750%,
1/15/2028
h
376,979
Level
3
Financing,
Inc.
915,000
4.625%,
9/15/2027
h
940,163
740,000
4.250%,
7/1/2028
h
751,337
Meredith
Corporation
440,000
6.500%,
7/1/2025
h
453,200
Netflix,
Inc.
1,255,000
4.875%,
4/15/2028
1,402,463
Nexstar
Escrow
Corporation
550,000
5.625%,
7/15/2027
h
576,923
Nielsen
Finance,
LLC
180,000
5.625%,
10/1/2028
h
184,950
Omnicom
Group,
Inc.
530,000
3.600%,
4/15/2026
597,430
330,000
4.200%,
6/1/2030
386,070
SBA
Communications
Corporation
440,000
3.875%,
2/15/2027
h
446,600
SFR
Group
SA
930,000
7.375%,
5/1/2026
h
974,547
Sirius
XM
Radio,
Inc.
1,250,000
5.000%,
8/1/2027
h
1,305,713
170,000
4.125%,
7/1/2030
h
174,214
Sprint
Capital
Corporation
460,000
6.875%,
11/15/2028
572,854
290,000
8.750%,
3/15/2032
424,505
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
266
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Communications
Services
(1.4%)
-
continued
Sprint
Corporation
$
840,000
7.250%,
9/15/2021
$
878,850
1,255,000
7.625%,
2/15/2025
1,468,350
Telesat
Canada
/
Telesat,
LLC
440,000
4.875%,
6/1/2027
h
441,782
Time
Warner
Entertainment
Company,
LP
1,341,000
8.375%,
3/15/2023
1,575,844
T-Mobile
USA,
Inc.
1,390,000
4.500%,
2/1/2026
1,432,256
1,100,000
3.750%,
4/15/2027
h
1,231,494
900,000
4.375%,
4/15/2040
h
1,054,953
Univision
Communications,
Inc.
740,000
6.625%,
6/1/2027
h
722,425
VeriSign,
Inc.
800,000
4.750%,
7/15/2027
848,000
Verizon
Communications,
Inc.
1,311,000
3.376%,
2/15/2025
1,459,735
3,054,000
4.272%,
1/15/2036
3,761,476
Viacom,
Inc.
840,000
5.850%,
9/1/2043
1,052,451
Virgin
Media
Secured
Finance
plc
1,300,000
5.500%,
8/15/2026
h
1,355,250
Vodafone
Group
plc
1,250,000
4.875%,
6/19/2049
1,549,748
VTR
Finance
BV
270,000
6.375%,
N/A
h
283,500
Walt
Disney
Company
1,200,000
2.200%,
1/13/2028
1,261,558
1,650,000
2.650%,
1/13/2031
1,776,276
1,400,000
3.500%,
5/13/2040
1,567,979
Windstream
Services,
LLC
560,000
8.625%,
10/31/2025
*,f
336,000
Ziggo
BV
634,000
5.500%,
1/15/2027
h
664,115
Total
75,924,141
Consumer
Cyclical
(1.0%)
1011778
B.C.,
ULC
1,310,000
4.375%,
1/15/2028
h
1,335,938
Allied
Universal
Holdco,
LLC
440,000
6.625%,
7/15/2026
h
468,600
Allison
Transmission,
Inc.
950,000
5.000%,
10/1/2024
h
959,557
Amazon.com,
Inc.
250,000
1.500%,
6/3/2030
255,235
1,420,000
3.875%,
8/22/2037
1,765,720
852,000
4.050%,
8/22/2047
1,101,212
American
Honda
Finance
Corporation
200,000
2.150%,
9/10/2024
210,423
Brookfield
Property
REIT,
Inc.
195,000
5.750%,
5/15/2026
h
153,674
Brookfield
Residential
Properties,
Inc.
900,000
6.250%,
9/15/2027
h
907,582
Carnival
Corporation
280,000
11.500%,
4/1/2023
h
313,874
300,000
10.500%,
2/1/2026
h
332,250
Cedar
Fair,
LP
490,000
5.250%,
7/15/2029
465,196
Colt
Merger
Sub,
Inc.
900,000
6.250%,
7/1/2025
h
938,250
CVS
Health
Corporation
1,200,000
3.625%,
4/1/2027
1,347,613
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Consumer
Cyclical
(1.0%)
-
continued
D.R.
Horton,
Inc.
$
1,175,000
2.550%,
12/1/2020
$
1,178,973
1,150,000
2.600%,
10/15/2025
1,233,017
Dana,
Inc.
560,000
5.625%,
6/15/2028
578,200
Ford
Motor
Company
250,000
9.000%,
4/22/2025
286,627
140,000
9.625%,
4/22/2030
180,775
630,000
7.450%,
7/16/2031
722,490
Ford
Motor
Credit
Company,
LLC
1,420,000
4.063%,
11/1/2024
1,418,225
670,000
4.134%,
8/4/2025
663,578
General
Motors
Company
1,200,000
6.125%,
10/1/2025
1,393,707
1,150,000
6.800%,
10/1/2027
1,397,564
General
Motors
Financial
Company,
Inc.
1,250,000
3.150%,
6/30/2022
1,283,981
560,000
3.950%,
4/13/2024
592,421
Hanesbrands,
Inc.
1,000,000
4.875%,
5/15/2026
h
1,067,500
Herc
Holdings,
Inc.
350,000
5.500%,
7/15/2027
h
362,127
Hilton
Domestic
Operating
Company,
Inc.
1,290,000
4.875%,
1/15/2030
1,328,700
Home
Depot,
Inc.
1,330,000
5.400%,
9/15/2040
1,881,900
840,000
4.250%,
4/1/2046
1,068,384
700,000
3.900%,
6/15/2047
862,329
Hyundai
Capital
America
750,000
1.250%,
9/18/2023
h
748,270
International
Game
Technology
plc
580,000
5.250%,
1/15/2029
h
586,525
KB
Home
490,000
4.800%,
11/15/2029
540,225
L
Brands,
Inc.
350,000
6.625%,
10/1/2030
h
356,125
Landry's,
Inc.
460,000
6.750%,
10/15/2024
h
384,100
Lennar
Corporation
825,000
4.125%,
1/15/2022
843,562
1,985,000
4.875%,
12/15/2023
2,134,123
Mastercard,
Inc.
875,000
3.300%,
3/26/2027
1,000,273
830,000
3.950%,
2/26/2048
1,054,103
Mattamy
Group
Corporation
1,130,000
5.250%,
12/15/2027
h
1,161,075
McDonald's
Corporation
1,200,000
2.125%,
3/1/2030
1,247,797
1,365,000
4.450%,
3/1/2047
1,691,699
MGM
Resorts
International
1,015,000
6.000%,
3/15/2023
1,052,966
Norwegian
Cruise
Line
Holdings,
Ltd.
290,000
10.250%,
2/1/2026
h
302,144
Prime
Security
Services
Borrower,
LLC
1,140,000
5.750%,
4/15/2026
h
1,219,093
215,000
3.375%,
8/31/2027
h
206,669
Royal
Caribbean
Cruises,
Ltd.
290,000
9.125%,
6/15/2023
h
307,400
210,000
11.500%,
6/1/2025
h
244,072
Scientific
Games
International,
Inc.
650,000
5.000%,
10/15/2025
h
654,062
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
267
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Consumer
Cyclical
(1.0%)
-
continued
ServiceMaster
Company,
LLC
$
1,020,000
5.125%,
11/15/2024
h
$
1,042,950
Six
Flags
Entertainment
Corporation
400,000
5.500%,
4/15/2027
h,j
379,320
Six
Flags
Theme
Parks,
Inc.
270,000
7.000%,
7/1/2025
h
287,213
Staples,
Inc.
710,000
7.500%,
4/15/2026
h
654,237
Target
Corporation
1,000,000
2.250%,
4/15/2025
1,067,620
TJX
Companies,
Inc.
675,000
3.875%,
4/15/2030
800,023
ViacomCBS,
Inc.
1,200,000
4.200%,
5/19/2032
1,369,763
Visa,
Inc.
1,150,000
2.700%,
4/15/2040
1,241,554
Volkswagen
Group
of
America
Finance,
LLC
1,500,000
4.250%,
11/13/2023
h
1,648,048
Walmart,
Inc.
825,000
3.250%,
7/8/2029
961,236
Wyndham
Destinations,
Inc.
350,000
6.625%,
7/31/2026
h
366,664
Wyndham
Hotels
&
Resorts,
Inc.
215,000
4.375%,
8/15/2028
h
208,550
Yum!
Brands,
Inc.
950,000
4.750%,
1/15/2030
h
1,023,625
Total
54,840,708
Consumer
Non-Cyclical
(1.7%)
Abbott
Laboratories
1,000,000
4.750%,
11/30/2036
1,336,509
AbbVie,
Inc.
1,100,000
2.800%,
3/15/2023
h
1,149,802
1,320,000
3.600%,
5/14/2025
1,462,755
675,000
2.950%,
11/21/2026
h
735,297
560,000
4.700%,
5/14/2045
687,130
2,000,000
4.875%,
11/14/2048
2,535,154
Albertson's
Companies,
Inc.
1,210,000
7.500%,
3/15/2026
h
1,327,418
715,000
3.500%,
3/15/2029
h
693,997
Altria
Group,
Inc.
700,000
4.400%,
2/14/2026
805,905
2,725,000
5.800%,
2/14/2039
3,476,741
Amgen,
Inc.
1,200,000
3.375%,
2/21/2050
1,296,058
Anheuser-Busch
Companies,
LLC
2,240,000
4.700%,
2/1/2036
2,702,159
Anheuser-Busch
InBev
Worldwide,
Inc.
1,875,000
4.750%,
4/15/2058
2,280,414
1,350,000
4.375%,
4/15/2038
1,570,366
150,000
4.600%,
4/15/2048
178,492
Anthem,
Inc.
900,000
3.125%,
5/15/2050
907,722
1,400,000
4.625%,
5/15/2042
1,751,836
Aramark
Services,
Inc.
280,000
6.375%,
5/1/2025
h
291,669
BAT
Capital
Corporation
1,136,000
4.540%,
8/15/2047
1,214,080
Bausch
Health
Companies,
Inc.
420,000
7.000%,
1/15/2028
h
444,150
170,000
5.000%,
1/30/2028
h
165,112
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Consumer
Non-Cyclical
(1.7%)
-
continued
Baxalta,
Inc.
$
569,000
4.000%,
6/23/2025
$
646,652
Becton,
Dickinson
and
Company
214,000
3.734%,
12/15/2024
236,532
865,000
3.700%,
6/6/2027
980,306
Boston
Scientific
Corporation
690,000
7.375%,
1/15/2040
1,105,809
Bunge,
Ltd.
Finance
Corporation
300,000
3.500%,
11/24/2020
301,313
Campbell
Soup
Company
345,000
2.375%,
4/24/2030
358,504
Cargill,
Inc.
1,200,000
3.250%,
5/23/2029
h
1,356,116
Centene
Corporation
690,000
4.750%,
1/15/2025
709,182
210,000
4.250%,
12/15/2027
219,750
490,000
4.625%,
12/15/2029
528,543
860,000
3.000%,
10/15/2030
e
876,125
Cigna
Corporation
164,000
3.050%,
10/15/2027
175,400
1,325,000
4.800%,
8/15/2038
1,642,211
Clorox
Company
1,180,000
3.100%,
10/1/2027
1,328,638
Conagra
Brands,
Inc.
935,000
4.300%,
5/1/2024
1,043,044
Constellation
Brands,
Inc.
1,120,000
3.600%,
2/15/2028
1,265,742
475,000
2.875%,
5/1/2030
512,526
CVS
Health
Corporation
329,000
4.100%,
3/25/2025
371,720
1,870,000
4.875%,
7/20/2035
2,375,349
DaVita,
Inc.
680,000
4.625%,
6/1/2030
h
697,952
DENTSPLY
SIRONA,
Inc.
1,375,000
3.250%,
6/1/2030
1,493,873
Edgewell
Personal
Care
Company
290,000
5.500%,
6/1/2028
h
305,147
Encompass
Health
Corporation
770,000
4.500%,
2/1/2028
773,850
Energizer
Holdings,
Inc.
900,000
4.750%,
6/15/2028
h
931,410
Express
Scripts
Holding
Company
1,685,000
4.800%,
7/15/2046
1,815,685
General
Mills,
Inc.
550,000
2.875%,
4/15/2030
603,080
Gilead
Sciences,
Inc.
2,550,000
2.600%,
10/1/2040
2,544,189
HCA,
Inc.
1,900,000
5.375%,
2/1/2025
2,080,500
HLF
Financing
SARL,
LLC
420,000
7.250%,
8/15/2026
h
431,550
Imperial
Brands
Finance
plc
1,200,000
3.875%,
7/26/2029
h
1,299,039
JBS
Investments
II
GmbH
420,000
5.750%,
1/15/2028
h
436,800
JBS
USA,
LLC
610,000
5.750%,
6/15/2025
h
628,788
630,000
5.500%,
1/15/2030
h
686,700
Kellogg
Company
1,200,000
2.100%,
6/1/2030
1,228,397
Keurig
Dr.
Pepper,
Inc.
875,000
3.200%,
5/1/2030
976,834
Kimberly-Clark
Corporation
650,000
3.100%,
3/26/2030
743,456
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
268
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Consumer
Non-Cyclical
(1.7%)
-
continued
$
710,000
3.900%,
5/4/2047
$
909,524
Kraft
Foods
Group,
Inc.
670,000
5.000%,
6/4/2042
732,823
Kraft
Heinz
Foods
Company
1,090,000
4.625%,
1/30/2029
1,212,856
1,030,000
3.750%,
4/1/2030
h
1,087,297
Medtronic,
Inc.
80,000
4.625%,
3/15/2045
109,902
Molina
Healthcare,
Inc.
490,000
4.375%,
6/15/2028
h
500,045
Mondelez
International,
Inc.
350,000
2.750%,
4/13/2030
380,895
Mylan,
Inc.
260,000
3.125%,
1/15/2023
h
273,624
1,250,000
4.550%,
4/15/2028
1,455,379
Par
Pharmaceutical,
Inc.
660,000
7.500%,
4/1/2027
h
691,469
Post
Holdings,
Inc.
380,000
5.750%,
3/1/2027
h
399,475
Quest
Diagnostics,
Inc.
1,200,000
2.800%,
6/30/2031
1,295,024
Reynolds
American,
Inc.
1,563,000
5.700%,
8/15/2035
1,949,551
Roche
Holdings,
Inc.
768,000
4.000%,
11/28/2044
h
1,031,227
Scotts
Miracle-Gro
Company
720,000
4.500%,
10/15/2029
762,750
Simmons
Foods,
Inc.
435,000
5.750%,
11/1/2024
h
435,452
Smithfield
Foods,
Inc.
820,000
2.650%,
10/3/2021
h
825,071
Spectrum
Brands,
Inc.
210,000
5.500%,
7/15/2030
h
221,550
Sysco
Corporation
1,200,000
6.600%,
4/1/2040
1,616,280
Teleflex,
Inc.
580,000
4.250%,
6/1/2028
h
600,300
Tenet
Healthcare
Corporation
350,000
4.625%,
7/15/2024
350,875
970,000
5.125%,
11/1/2027
h
997,742
Teva
Pharmaceutical
Finance
Netherlands
III
BV
590,000
2.800%,
7/21/2023
564,188
Thermo
Fisher
Scientific,
Inc.
720,000
4.133%,
3/25/2025
820,313
TreeHouse
Foods,
Inc.
280,000
4.000%,
9/1/2028
283,186
Tyson
Foods,
Inc.
560,000
3.550%,
6/2/2027
632,355
UnitedHealth
Group,
Inc.
1,400,000
2.950%,
10/15/2027
1,559,444
2,470,000
4.625%,
7/15/2035
3,244,772
VRX
Escrow
Corporation
2,495,000
6.125%,
4/15/2025
h
2,554,256
Zoetis,
Inc.
670,000
4.700%,
2/1/2043
880,565
Total
89,101,668
Energy
(1.1%)
Antero
Resources
Corporation
405,000
5.000%,
3/1/2025
253,125
Apache
Corporation
270,000
4.875%,
11/15/2027
255,150
460,000
4.375%,
10/15/2028
j
420,900
350,000
5.100%,
9/1/2040
314,615
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Energy
(1.1%)
-
continued
Archrock
Partners,
LP
$
480,000
6.250%,
4/1/2028
h
$
452,400
BP
Capital
Markets
America,
Inc.
285,000
3.119%,
5/4/2026
314,779
500,000
3.543%,
4/6/2027
560,226
BP
Capital
Markets
plc
1,960,000
3.279%,
9/19/2027
2,174,837
Buckeye
Partners,
LP
200,000
4.125%,
3/1/2025
h
191,000
480,000
3.950%,
12/1/2026
448,022
160,000
4.125%,
12/1/2027
151,600
Canadian
Natural
Resources,
Ltd.
340,000
2.050%,
7/15/2025
346,863
430,000
2.950%,
7/15/2030
432,599
Canadian
Oil
Sands,
Ltd.
750,000
9.400%,
9/1/2021
h
792,793
Cheniere
Energy
Partners,
LP
1,365,000
5.625%,
10/1/2026
1,419,600
Comstock
Resources,
Inc.
320,000
9.750%,
8/15/2026
328,064
ConocoPhillips
1,400,000
6.500%,
2/1/2039
2,044,844
Continental
Resources,
Inc.
360,000
5.000%,
9/15/2022
j
357,527
300,000
4.500%,
4/15/2023
286,023
DCP
Midstream
Operating,
LP
430,000
5.625%,
7/15/2027
439,890
Diamondback
Energy,
Inc.
975,000
3.500%,
12/1/2029
940,046
El
Paso
Pipeline
Partners
Operating
Company,
LLC
840,000
4.300%,
5/1/2024
925,694
Enagas
SA
1,160,000
5.500%,
1/15/2028
h
1,044,000
Endeavor
Energy
Resources,
LP
190,000
5.500%,
1/30/2026
h
188,575
530,000
5.750%,
1/30/2028
h
532,650
Energy
Transfer
Operating,
LP
450,000
4.200%,
9/15/2023
474,176
1,340,000
6.000%,
6/15/2048
1,345,461
Energy
Transfer
Partners,
LP
765,000
4.900%,
3/15/2035
747,162
600,000
5.150%,
2/1/2043
548,336
EnLink
Midstream
Partners,
LP
440,000
4.850%,
7/15/2026
380,648
600,000
5.600%,
4/1/2044
385,500
EOG
Resources,
Inc.
875,000
4.375%,
4/15/2030
1,030,352
EQM
Midstream
Partners,
LP
500,000
6.500%,
7/1/2027
h
530,010
220,000
5.500%,
7/15/2028
221,551
EQT
Corporation
780,000
3.900%,
10/1/2027
j
710,775
Equinor
ASA
1,350,000
3.000%,
4/6/2027
1,486,654
Exxon
Mobil
Corporation
575,000
4.327%,
3/19/2050
714,649
1,200,000
3.452%,
4/15/2051
1,315,051
Harvest
Midstream,
LP
380,000
7.500%,
9/1/2028
h
378,100
Kinder
Morgan
Energy
Partners,
LP
1,400,000
6.500%,
9/1/2039
1,761,373
Magellan
Midstream
Partners,
LP
750,000
5.000%,
3/1/2026
874,144
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
269
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Energy
(1.1%)
-
continued
Marathon
Oil
Corporation
$
900,000
4.400%,
7/15/2027
$
894,875
Marathon
Petroleum
Corporation
1,680,000
4.750%,
12/15/2023
1,841,159
636,000
6.500%,
3/1/2041
774,916
MPLX,
LP
1,200,000
4.875%,
12/1/2024
1,340,396
1,680,000
4.875%,
6/1/2025
1,904,274
Murphy
Oil
Corporation
240,000
5.875%,
12/1/2027
204,970
Nabors
Industries,
Ltd.
600,000
7.250%,
1/15/2026
h
295,500
Newfield
Exploration
Company
280,000
5.625%,
7/1/2024
272,334
560,000
5.375%,
1/1/2026
526,548
Noble
Energy,
Inc.
1,250,000
5.050%,
11/15/2044
1,618,983
NuStar
Logistics,
LP
500,000
5.750%,
10/1/2025
516,400
Occidental
Petroleum
Corporation
412,000
2.700%,
8/15/2022
384,960
860,000
2.900%,
8/15/2024
729,650
300,000
3.400%,
4/15/2026
239,250
270,000
8.500%,
7/15/2027
272,082
525,000
3.500%,
8/15/2029
402,570
280,000
6.450%,
9/15/2036
238,006
710,000
4.400%,
4/15/2046
506,560
ONEOK,
Inc.
860,000
2.200%,
9/15/2025
847,386
Parsley
Energy,
LLC
665,000
5.625%,
10/15/2027
h
661,675
Pioneer
Natural
Resources
Company
500,000
4.450%,
1/15/2026
578,148
Plains
All
American
Pipeline,
LP
1,200,000
4.500%,
12/15/2026
1,280,155
1,100,000
3.550%,
12/15/2029
1,063,557
QEP
Resources,
Inc.
290,000
5.625%,
3/1/2026
164,575
Sabine
Pass
Liquefaction,
LLC
840,000
6.250%,
3/15/2022
891,372
1,000,000
5.625%,
4/15/2023
1,095,307
1,140,000
5.750%,
5/15/2024
1,290,519
Schlumberger
Holdings
Corporation
880,000
4.000%,
12/21/2025
h
984,024
Southwestern
Energy
Company
780,000
7.500%,
4/1/2026
j
762,450
Suncor
Energy,
Inc.
780,000
3.600%,
12/1/2024
849,218
Sunoco
Logistics
Partners
Operations,
LP
700,000
4.000%,
10/1/2027
714,678
Sunoco,
LP
385,000
5.875%,
3/15/2028
393,663
Targa
Resources
Partners,
LP
780,000
5.375%,
2/1/2027
784,384
Transocean
Guardian,
Ltd.
300,300
5.875%,
1/15/2024
h
193,693
W&T
Offshore,
Inc.
440,000
9.750%,
11/1/2023
h
303,010
Western
Gas
Partners,
LP
1,120,000
4.000%,
7/1/2022
1,126,636
Western
Midstream
Operating,
LP
230,000
6.250%,
2/1/2050
213,038
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Energy
(1.1%)
-
continued
$
440,000
4.100%,
2/1/2025
$
419,100
440,000
3.950%,
6/1/2025
413,512
Williams
Companies,
Inc.
1,400,000
7.500%,
1/15/2031
1,840,888
Williams
Partners,
LP
710,000
4.500%,
11/15/2023
777,376
WPX
Energy,
Inc.
700,000
5.750%,
6/1/2026
724,500
Total
59,856,061
Financials
(2.4%)
ACE
INA
Holdings,
Inc.
737,000
4.350%,
11/3/2045
963,769
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
980,000
3.500%,
1/15/2025
954,465
AerCap
Ireland
Capital,
Ltd.
950,000
3.875%,
1/23/2028
875,192
Aircastle,
Ltd.
1,650,000
5.000%,
4/1/2023
1,653,616
Ally
Financial,
Inc.
810,000
5.750%,
11/20/2025
909,288
American
International
Group,
Inc.
705,000
3.750%,
7/10/2025
789,784
1,560,000
3.900%,
4/1/2026
1,778,460
Australia
and
New
Zealand
Banking
Group,
Ltd.
500,000
2.950%,
7/22/2030
b,h
518,115
Aviation
Capital
Group,
LLC
1,135,000
2.875%,
1/20/2022
h
1,126,346
Avolon
Holdings
Funding,
Ltd.
700,000
5.250%,
5/15/2024
h
703,105
Banco
Santander
Mexico
SA
675,000
5.375%,
4/17/2025
h
750,600
Banco
Santander
SA
1,200,000
1.386%,
(LIBOR
3M
+
1.120%),
4/12/2023
b
1,205,359
Bank
of
America
Corporation
1,056,000
4.000%,
4/1/2024
1,170,112
1,000,000
4.200%,
8/26/2024
1,113,455
1,580,000
4.000%,
1/22/2025
1,759,690
1,450,000
3.458%,
3/15/2025
b
1,571,478
1,400,000
3.093%,
10/1/2025
b
1,509,350
1,160,000
3.824%,
1/20/2028
b
1,314,307
1,200,000
2.496%,
2/13/2031
b
1,250,867
700,000
2.592%,
4/29/2031
b
739,191
Barclays
Bank
plc
264,000
10.179%,
6/12/2021
h
277,743
Barclays
plc
1,250,000
3.564%,
9/23/2035
b
1,229,612
Boston
Properties,
LP
850,000
4.500%,
12/1/2028
1,001,282
BPCE
SA
1,310,000
3.500%,
10/23/2027
h
1,439,379
Camden
Property
Trust
1,500,000
3.150%,
7/1/2029
1,663,173
Capital
One
Financial
Corporation
1,000,000
4.200%,
10/29/2025
1,108,417
Cascades
USA,
Inc.
660,000
5.125%,
1/15/2026
h
691,482
CIT
Group,
Inc.
935,000
5.000%,
8/15/2022
964,219
230,000
5.250%,
3/7/2025
243,340
Citigroup,
Inc.
1,990,000
4.400%,
6/10/2025
2,237,895
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
270
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Financials
(2.4%)
-
continued
$
1,120,000
3.200%,
10/21/2026
$
1,234,946
1,704,000
3.668%,
7/24/2028
b
1,912,693
840,000
4.125%,
7/25/2028
965,599
1,400,000
3.520%,
10/27/2028
b
1,555,573
828,000
4.650%,
7/23/2048
1,086,251
CNA
Financial
Corporation
450,000
3.900%,
5/1/2029
515,851
Commerzbank
AG
1,400,000
8.125%,
9/19/2023
h
1,593,256
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
1,360,000
3.950%,
11/9/2022
1,445,004
1,330,000
4.625%,
12/1/2023
1,479,133
Credit
Acceptance
Corporation
450,000
5.125%,
12/31/2024
h
446,863
Credit
Agricole
SA
400,000
3.375%,
1/10/2022
h
413,100
850,000
3.250%,
1/14/2030
h
912,375
Credit
Suisse
Group
AG
775,000
7.250%,
9/12/2025
b,h,l
839,906
1,375,000
2.193%,
6/5/2026
b,h
1,419,764
1,065,000
3.869%,
1/12/2029
b,h
1,187,968
Danske
Bank
AS
900,000
3.244%,
12/20/2025
b,h
957,688
Deutsche
Bank
AG
1,700,000
3.547%,
9/18/2031
b
1,708,294
Discover
Bank
600,000
2.450%,
9/12/2024
632,901
1,410,000
4.682%,
8/9/2028
b
1,478,159
Duke
Realty,
LP
700,000
2.875%,
11/15/2029
763,095
ERP
Operating,
LP
267,000
3.375%,
6/1/2025
295,451
ESH
Hospitality,
Inc.
440,000
5.250%,
5/1/2025
h
444,400
220,000
4.625%,
10/1/2027
h
215,879
Fidelity
National
Financial,
Inc.
1,125,000
5.500%,
9/1/2022
1,220,926
First
Horizon
National
Corporation
1,375,000
4.000%,
5/26/2025
1,494,600
GE
Capital
Funding,
LLC
2,675,000
4.400%,
5/15/2030
h
2,875,357
GE
Capital
International
Funding
Company
1,615,000
4.418%,
11/15/2035
1,706,799
Goldman
Sachs
Group,
Inc.
1,975,000
4.165%,
(LIBOR
3M
+
3.922%),
11/2/2020
b,l
1,941,030
1,000,000
3.625%,
2/20/2024
1,085,856
460,000
4.750%,
10/21/2045
603,902
HCP,
Inc.
520,000
3.400%,
2/1/2025
568,987
Healthpeak
Properties,
Inc.
675,000
2.875%,
1/15/2031
714,547
HSBC
Holdings
plc
1,075,000
6.875%,
6/1/2021
b,l
1,096,500
1,525,000
3.803%,
3/11/2025
b
1,647,419
1,040,000
3.900%,
5/25/2026
1,149,269
1,100,000
4.950%,
3/31/2030
1,323,892
Icahn
Enterprises,
LP
250,000
6.750%,
2/1/2024
256,444
885,000
6.375%,
12/15/2025
909,749
International
Lease
Finance
Corporation
550,000
5.875%,
8/15/2022
588,496
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Financials
(2.4%)
-
continued
J.P.
Morgan
Chase
&
Company
$
1,040,000
3.625%,
5/13/2024
$
1,147,788
1,200,000
3.875%,
9/10/2024
1,327,305
1,040,000
3.125%,
1/23/2025
1,134,285
25,000
3.900%,
7/15/2025
28,273
105,000
3.300%,
4/1/2026
116,331
1,350,000
4.203%,
7/23/2029
b
1,596,990
700,000
2.522%,
4/22/2031
b
745,075
1,700,000
3.882%,
7/24/2038
b
2,001,208
Kimco
Realty
Corporation
1,072,000
3.300%,
2/1/2025
1,161,288
Liberty
Mutual
Group,
Inc.
560,000
4.950%,
5/1/2022
h
596,600
Lloyds
Banking
Group
plc
1,500,000
3.870%,
7/9/2025
b
1,633,348
MassMutual
Global
Funding
920,000
2.750%,
6/22/2024
h
988,768
MetLife,
Inc.
1,025,000
4.050%,
3/1/2045
1,244,336
MGM
Growth
Properties
Operating
Partnership,
LP
300,000
4.625%,
6/15/2025
h
306,000
260,000
5.750%,
2/1/2027
280,150
Mitsubishi
UFJ
Financial
Group,
Inc.
1,420,000
3.287%,
7/25/2027
1,577,180
1,350,000
2.048%,
7/17/2030
1,363,109
Mizuho
Financial
Group,
Inc.
1,250,000
1.979%,
9/8/2031
b
1,236,820
Morgan
Stanley
560,000
4.085%,
(LIBOR
3M
+
3.810%),
1/15/2021
b,l
547,635
445,000
4.875%,
11/1/2022
481,080
475,000
2.188%,
4/28/2026
b
497,219
1,350,000
4.350%,
9/8/2026
1,560,398
1,704,000
3.591%,
7/22/2028
b
1,915,513
1,250,000
3.622%,
4/1/2031
b
1,427,248
MPT
Operating
Partnership,
LP
335,000
6.375%,
3/1/2024
344,045
675,000
4.625%,
8/1/2029
702,317
Nasdaq,
Inc.
575,000
3.250%,
4/28/2050
599,077
Nationwide
Building
Society
650,000
3.622%,
4/26/2023
b,h
675,319
Natwest
Group
plc
1,750,000
3.032%,
11/28/2035
b
1,681,015
Outfront
Media
Cap,
LLC
720,000
4.625%,
3/15/2030
h
691,200
Park
Aerospace
Holdings,
Ltd.
700,000
4.500%,
3/15/2023
h
694,426
Prudential
Financial,
Inc.
900,000
3.700%,
3/13/2051
990,530
Quicken
Loans,
LLC
340,000
3.625%,
3/1/2029
h
337,025
340,000
3.875%,
3/1/2031
h
335,750
Realty
Income
Corporation
1,120,000
4.125%,
10/15/2026
1,299,529
Regency
Centers,
LP
1,680,000
4.125%,
3/15/2028
1,878,284
Reinsurance
Group
of
America,
Inc.
965,000
4.700%,
9/15/2023
1,065,452
Royal
Bank
of
Scotland
Group
plc
875,000
6.000%,
12/29/2025
b,l
890,313
850,000
4.445%,
5/8/2030
b
983,063
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
271
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Financials
(2.4%)
-
continued
Service
Properties
Trust
$
360,000
4.500%,
6/15/2023
$
353,182
460,000
4.750%,
10/1/2026
409,929
Simon
Property
Group,
LP
1,120,000
4.250%,
11/30/2046
1,198,153
Societe
Generale
SA
840,000
4.750%,
11/24/2025
h
921,353
Springleaf
Finance
Corporation
680,000
6.875%,
3/15/2025
754,579
410,000
6.625%,
1/15/2028
455,018
Sumitomo
Mitsui
Financial
Group,
Inc.
840,000
3.010%,
10/19/2026
925,932
Synchrony
Financial
330,000
4.250%,
8/15/2024
358,537
825,000
3.950%,
12/1/2027
887,358
UBS
Group
Funding
Jersey,
Ltd.
768,000
4.125%,
9/24/2025
h
875,195
UDR,
Inc.
675,000
2.100%,
8/1/2032
670,693
Ventas
Realty,
LP
200,000
3.100%,
1/15/2023
207,941
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
250,000
4.250%,
12/1/2026
h
251,163
140,000
3.750%,
2/15/2027
h
137,659
250,000
4.625%,
12/1/2029
h
255,359
140,000
4.125%,
8/15/2030
h
137,900
Voya
Financial,
Inc.
979,000
3.125%,
7/15/2024
1,055,392
Wells
Fargo
&
Company
1,200,000
4.125%,
8/15/2023
1,307,190
1,040,000
3.000%,
2/19/2025
1,122,222
600,000
3.000%,
4/22/2026
652,604
1,140,000
3.000%,
10/23/2026
1,244,399
1,200,000
2.393%,
6/2/2028
b
1,251,456
930,000
4.900%,
11/17/2045
1,177,593
Total
130,893,112
Mortgage-Backed
Securities
(13.0%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
37,756,032
3.000%,
3/25/2050
39,590,465
22,292,419
3.000%,
4/1/2050
23,375,551
21,440,441
3.500%,
7/1/2047
22,686,378
Federal
National
Mortgage
Association
8,574,572
4.500%,
5/1/2048
9,286,296
15,913,834
3.500%,
10/1/2048
16,814,468
13,754,664
3.500%,
6/1/2049
14,549,740
18,726,798
3.500%,
8/1/2049
19,829,531
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
27,750,000
1.500%,
10/1/2035
e
28,385,215
63,700,000
2.000%,
10/1/2035
e
66,188,281
111,200,000
2.500%,
10/1/2035
e
116,099,750
42,450,000
2.000%,
11/1/2035
e
44,091,389
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
77,630,000
2.000%,
10/1/2050
e
80,250,012
84,550,000
2.500%,
10/1/2050
e,m
88,678,418
31,000,000
2.000%,
11/1/2050
e,m
31,969,652
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Mortgage-Backed
Securities
(13.0%)
-
continued
$
42,825,000
2.500%,
11/1/2050
e
$
44,823,630
29,168,003
4.000%,
7/1/2048
31,110,003
24,275,000
3.000%,
10/1/2049
e
25,429,011
Total
703,157,790
Technology
(1.0%)
Apple,
Inc.
2,250,000
3.000%,
11/13/2027
2,542,023
1,975,000
3.750%,
9/12/2047
2,428,261
Applied
Materials,
Inc.
560,000
3.300%,
4/1/2027
636,267
Avnet,
Inc.
820,000
3.750%,
12/1/2021
843,502
Baidu,
Inc.
940,000
3.425%,
4/7/2030
j
1,033,618
Black
Knight
InfoServ,
LLC
105,000
3.625%,
9/1/2028
h
106,116
Broadcom
Corporation
851,000
3.875%,
1/15/2027
943,643
1,100,000
3.500%,
1/15/2028
1,191,212
Broadcom,
Inc.
1,425,000
4.750%,
4/15/2029
1,654,925
460,000
5.000%,
4/15/2030
542,566
CDW,
LLC
280,000
4.250%,
4/1/2028
289,800
CommScope
Technologies
Finance,
LLC
1,125,000
6.000%,
6/15/2025
h
1,140,244
Diamond
1
Finance
Corporation
2,320,000
6.020%,
6/15/2026
h
2,724,743
Diamond
Sports
Group,
LLC
440,000
5.375%,
8/15/2026
h
311,300
790,000
6.625%,
8/15/2027
h
410,800
Fiserv,
Inc.
1,650,000
2.250%,
6/1/2027
1,741,751
960,000
2.650%,
6/1/2030
1,032,332
Gartner,
Inc.
440,000
4.500%,
7/1/2028
h
460,988
290,000
3.750%,
10/1/2030
h
293,349
Hewlett
Packard
Enterprise
Company
650,000
4.650%,
10/1/2024
734,894
Intel
Corporation
1,350,000
3.100%,
2/15/2060
1,462,675
Iron
Mountain,
Inc.
250,000
5.000%,
7/15/2028
h
256,245
540,000
4.875%,
9/15/2029
h
549,450
300,000
5.250%,
7/15/2030
h
312,750
KLA
Corporation
1,440,000
3.300%,
3/1/2050
1,506,334
Lam
Research
Corporation
1,200,000
2.875%,
6/15/2050
1,239,452
Marvell
Technology
Group,
Ltd.
825,000
4.200%,
6/22/2023
890,652
1,090,000
4.875%,
6/22/2028
1,314,730
Micron
Technology,
Inc.
450,000
2.497%,
4/24/2023
467,274
Microsoft
Corporation
1,043,000
2.675%,
6/1/2060
1,092,119
1,575,000
4.200%,
11/3/2035
2,068,146
1,700,000
3.700%,
8/8/2046
2,133,158
NCR
Corporation
1,280,000
6.125%,
9/1/2029
h
1,352,474
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
272
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Technology
(1.0%)
-
continued
NVIDIA
Corporation
$
1,100,000
3.500%,
4/1/2040
$
1,288,063
NXP
BV/NXP
Funding,
LLC
1,250,000
4.875%,
3/1/2024
h
1,405,440
Open
Text
Corporation
830,000
4.125%,
2/15/2030
h
853,605
Oracle
Corporation
965,000
2.950%,
5/15/2025
1,050,585
1,300,000
2.800%,
4/1/2027
1,426,258
1,400,000
3.850%,
7/15/2036
1,651,640
1,200,000
3.600%,
4/1/2040
1,368,541
Plantronics,
Inc.
710,000
5.500%,
5/31/2023
h
631,900
PTC,
Inc.
220,000
3.625%,
2/15/2025
h
223,300
210,000
4.000%,
2/15/2028
h
215,843
Qorvo,
Inc.
350,000
3.375%,
4/1/2031
h
355,994
Sensata
Technologies,
Inc.
750,000
3.750%,
2/15/2031
h
745,312
SS&C
Technologies,
Inc.
1,250,000
5.500%,
9/30/2027
h
1,328,400
Switch,
Ltd.
150,000
3.750%,
9/15/2028
h
151,500
Texas
Instruments,
Inc.
1,380,000
4.150%,
5/15/2048
1,800,580
Tyco
Electronics
Group
SA
284,000
3.450%,
8/1/2024
308,755
568,000
3.125%,
8/15/2027
620,790
Vmware,
Inc.
550,000
4.650%,
5/15/2027
640,839
Xerox
Holdings
Corporation
410,000
5.000%,
8/15/2025
h
405,191
Total
52,180,329
Transportation
(0.2%)
Air
Canada
Pass
Through
Trust
193,488
3.875%,
3/15/2023
h
166,432
Air
Lease
Corporation
435,000
3.500%,
1/15/2022
446,253
American
Airlines,
Inc.
150,000
11.750%,
7/15/2025
h
144,750
Burlington
Northern
Santa
Fe,
LLC
850,000
5.750%,
5/1/2040
1,216,373
685,000
5.050%,
3/1/2041
912,590
900,000
4.450%,
3/15/2043
1,144,012
CSX
Corporation
720,000
3.800%,
4/15/2050
860,218
900,000
3.350%,
9/15/2049
992,988
Delta
Air
Lines,
Inc.
640,000
7.000%,
5/1/2025
h
702,605
Mileage
Plus
Holdings,
LLC
440,000
6.500%,
6/20/2027
h
458,150
Southwest
Airlines
Company
960,000
4.750%,
5/4/2023
1,025,145
875,000
5.125%,
6/15/2027
953,047
United
Parcel
Service,
Inc.
960,000
4.450%,
4/1/2030
1,202,473
XPO
Logistics,
Inc.
1,178,000
6.750%,
8/15/2024
h
1,247,738
Total
11,472,774
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
U.S.
Government
&
Agencies
(13.5%)
U.S.
Treasury
Bonds
$
1,200,000
2.000%,
2/15/2050
$
1,357,313
16,975,000
2.250%,
11/15/2027
19,082,287
31,750,000
2.875%,
5/15/2028
37,353,379
14,120,000
5.250%,
11/15/2028
19,422,170
38,250,000
1.625%,
8/15/2029
41,632,734
13,290,000
1.500%,
2/15/2030
14,334,511
1,075,000
4.375%,
5/15/2040
1,687,414
600,000
3.000%,
5/15/2042
797,578
27,658,000
2.500%,
5/15/2046
34,169,514
35,275,000
2.875%,
5/15/2049
47,228,540
1,000,000
2.375%,
11/15/2049
1,220,898
U.S.
Treasury
Notes
715,000
1.875%,
12/15/2020
717,570
23,100,000
2.500%,
2/28/2021
23,322,879
10,250,000
1.375%,
5/31/2021
10,332,481
55,070,000
1.125%,
8/31/2021
55,551,863
57,800,000
1.500%,
9/30/2021
58,572,172
2,000,000
2.500%,
1/15/2022
2,060,703
3,990,000
1.125%,
2/28/2022
4,045,174
93,880,000
0.125%,
6/30/2022
93,857,996
22,230,000
1.875%,
7/31/2022
22,936,845
53,005,000
2.000%,
11/30/2022
55,133,482
6,540,000
2.500%,
3/31/2023
6,923,970
65,780,000
2.500%,
1/31/2024
70,847,116
12,780,000
2.125%,
7/31/2024
13,715,536
15,100,000
2.250%,
11/15/2024
16,350,469
8,000,000
2.125%,
11/30/2024
8,627,813
3,750,000
1.375%,
1/31/2025
3,933,691
33,800,000
2.625%,
1/31/2026
37,925,977
22,580,000
2.500%,
2/28/2026
25,219,919
1,100,000
0.500%,
4/30/2027
1,104,855
Total
729,466,849
Utilities
(0.9%)
Ameren
Illinois
Company
720,000
4.500%,
3/15/2049
955,006
American
Water
Capital
Corporation
1,150,000
2.800%,
5/1/2030
1,258,789
Appalachian
Power
Company
560,000
3.300%,
6/1/2027
615,452
Berkshire
Hathaway
Energy
Company
900,000
4.500%,
2/1/2045
1,125,452
Calpine
Corporation
710,000
4.500%,
2/15/2028
h
727,139
CenterPoint
Energy,
Inc.
435,000
3.850%,
2/1/2024
476,474
1,100,000
2.500%,
9/1/2024
1,170,122
750,000
4.250%,
11/1/2028
893,669
CMS
Energy
Corporation
840,000
2.950%,
2/15/2027
894,269
Commonwealth
Edison
Company
1,025,000
3.700%,
3/1/2045
1,192,762
Consolidated
Edison
Company
of
New
York,
Inc.
900,000
4.125%,
5/15/2049
1,077,741
Consolidated
Edison,
Inc.
384,000
4.500%,
12/1/2045
480,445
Consumers
Energy
Company
1,025,000
4.350%,
4/15/2049
1,349,138
DTE
Electric
Company
760,000
3.700%,
3/15/2045
887,237
890,000
3.700%,
6/1/2046
1,037,588
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
273
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Utilities
(0.9%)
-
continued
Duke
Energy
Carolinas,
LLC
$
960,000
3.700%,
12/1/2047
$
1,133,935
Duke
Energy
Corporation
520,000
3.750%,
9/1/2046
591,788
Duke
Energy
Florida,
LLC
775,000
3.200%,
1/15/2027
873,257
Duke
Energy
Indiana,
LLC
1,085,000
3.750%,
5/15/2046
1,267,265
Edison
International
1,450,000
5.750%,
6/15/2027
1,600,243
Exelon
Corporation
575,000
4.700%,
4/15/2050
730,905
792,000
4.450%,
4/15/2046
960,036
FirstEnergy
Corporation
350,000
2.850%,
7/15/2022
358,732
1,015,000
4.850%,
7/15/2047
1,220,248
GFL
Environmental,
Inc.
500,000
3.750%,
8/1/2025
h
498,750
ITC
Holdings
Corporation
284,000
4.050%,
7/1/2023
307,043
560,000
5.300%,
7/1/2043
733,103
Mississippi
Power
Company
800,000
3.950%,
3/30/2028
917,646
Monongahela
Power
Company
780,000
5.400%,
12/15/2043
h
1,095,854
National
Rural
Utilities
Cooperative
Finance
Corporation
500,000
3.900%,
11/1/2028
594,682
1,000,000
3.700%,
3/15/2029
1,173,348
NextEra
Energy
Operating
Partners,
LP
1,260,000
3.875%,
10/15/2026
h
1,304,100
NiSource
Finance
Corporation
560,000
3.490%,
5/15/2027
623,842
675,000
5.650%,
2/1/2045
931,547
NiSource,
Inc.
875,000
3.600%,
5/1/2030
996,380
Oncor
Electric
Delivery
Company,
LLC
1,140,000
3.750%,
4/1/2045
1,359,094
Pacific
Gas
and
Electric
Company
800,000
3.300%,
12/1/2027
822,226
800,000
3.950%,
12/1/2047
738,511
PG&E
Corporation
290,000
5.000%,
7/1/2028
281,300
220,000
5.250%,
7/1/2030
212,850
PPL
Capital
Funding,
Inc.
1,275,000
5.000%,
3/15/2044
1,588,189
PPL
Electric
Utilities
Corporation
840,000
3.950%,
6/1/2047
1,025,306
Public
Service
Electric
&
Gas
Company
410,000
3.000%,
5/15/2027
454,113
San
Diego
Gas
and
Electric
Company
1,450,000
4.150%,
5/15/2048
1,761,330
South
Carolina
Electric
&
Gas
Company
1,560,000
5.100%,
6/1/2065
2,326,194
Southern
California
Edison
Company
1,135,000
4.000%,
4/1/2047
1,215,324
Southern
Company
665,000
3.250%,
7/1/2026
741,732
85,000
4.400%,
7/1/2046
100,600
Principal
Amount
Long-Term
Fixed
Income
(40.7%)
Value
Utilities
(0.9%)
-
continued
Southern
Company
Gas
Capital
Corporation
$
1,400,000
4.400%,
5/30/2047
$
1,690,137
Southwestern
Electric
Power
Company
460,000
3.900%,
4/1/2045
504,369
Suburban
Propane
Partners,
LP
560,000
5.875%,
3/1/2027
573,300
Talen
Energy
Supply,
LLC
570,000
7.625%,
6/1/2028
h
570,000
TerraForm
Power
Operating,
LLC
510,000
5.000%,
1/31/2028
h
558,284
Virginia
Electric
and
Power
Company
750,000
4.600%,
12/1/2048
1,021,694
Vistra
Operations
Company,
LLC
800,000
5.000%,
7/31/2027
h
840,200
Total
50,438,740
Total
Long-Term
Fixed
Income
(cost
$2,094,986,468)
2,196,433,663
Shares
Registered
Investment
Companies
(
33.9%
)
Value
Unaffiliated (0.5%)
4,908
Health
Care
Select
Sector
SPDR
Fund
517,696
437,650
Invesco
Senior
Loan
ETF
9,514,511
5,998
iShares
Dow
Jones
US
Home
Construction
Index
Fund
339,786
10,838
ProShares
Ultra
S&P
500
j
796,268
23,767
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
2,478,185
41,448
SPDR
S&P
500
ETF
Trust
j
13,880,521
5,997
SPDR
S&P
Regional
Banking
ETF
213,973
2,730
Utilities
Select
Sector
SPDR
Fund
j
162,107
Total
27,903,047
Affiliated (33.4%)
18,708,412
Thrivent
Core
Emerging
Markets
Debt
Fund
183,716,604
2,822,026
Thrivent
Core
Emerging
Markets
Equity
Fund
n
28,784,669
5,492,730
Thrivent
Core
International
Equity
Fund
48,720,519
13,346,682
Thrivent
Core
Low
Volatility
Equity
Fund
160,293,655
3,478,328
Thrivent
Global
Stock
Portfolio
42,980,314
30,314,100
Thrivent
High
Yield
Portfolio
135,285,768
40,747,757
Thrivent
Income
Portfolio
452,014,871
17,978,733
Thrivent
International
Allocation
Portfolio
160,501,546
1,549,171
Thrivent
International
Index
Portfolio
n
17,277,591
10,802,677
Thrivent
Large
Cap
Value
Portfolio
174,671,725
25,262,219
Thrivent
Limited
Maturity
Bond
Portfolio
253,625,102
5,379,170
Thrivent
Mid
Cap
Stock
Portfolio
99,205,345
3,003,419
Thrivent
Small
Cap
Stock
Portfolio
46,261,971
Total
1,803,339,680
Total
Registered
Investment
Companies
(cost
$1,698,525,860)
1,831,242,727
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
274
Shares
Common
Stock
(
17.6%
)
Value
Communications
Services
(1.2%)
50,814
Activision
Blizzard,
Inc.
$
4,113,393
12,179
Alphabet,
Inc.,
Class
A
n
17,849,542
2,740
Alphabet,
Inc.,
Class
C
n
4,026,704
12,370
ANGI
Homeservices,
Inc.
n
137,245
975
AT&T,
Inc.
27,797
10,956
Cinemark
Holdings,
Inc.
109,560
106,362
Comcast
Corporation
4,920,306
2,301
Consolidated
Communications
Holdings,
Inc.
n
13,093
63,878
Discovery,
Inc.,
Class
A
j,n
1,390,624
7,833
DISH
Network
Corporation
n
227,392
4,195
EchoStar
Corporation
n
104,414
36,777
Facebook,
Inc.
n
9,631,896
50,310
Gannett
Company,
Inc.
65,403
2,250
Hemisphere
Media
Group,
Inc.
n
19,553
286
IAC/InterActiveCorp
n
34,257
14,190
Interpublic
Group
of
Companies,
Inc.
236,547
98,454
Live
Nation
Entertainment,
Inc.
n
5,304,702
822
Match
Group,
Inc.
n
90,954
10,190
Meredith
Corporation
133,693
3,138
News Corporation
43,869
2,472
Omnicom
Group,
Inc.
122,364
17,966
ORBCOMM,
Inc.
n
61,084
52,274
QuinStreet,
Inc.
n
828,020
6,507
RingCentral,
Inc.
n
1,786,887
3,255
Scholastic
Corporation
68,323
6,648
Take-Two
Interactive
Software,
Inc.
n
1,098,383
7,804
Twitter,
Inc.
n
347,278
126,787
Uber
Technologies,
Inc.
n
4,625,190
111,361
Verizon
Communications,
Inc.
6,624,866
12,464
Walt
Disney
Company
1,546,533
3,951
Windstream
Services,
LLC
Rights
c,n
37,495
5,947
Zillow
Group,
Inc.
n
603,858
Total
66,231,225
Consumer
Discretionary
(2.6%)
4,163
Aaron's,
Inc.
235,834
7,116
Adient
plc
n
123,320
13,441
Amazon.com,
Inc.
n
42,322,080
7,908
American
Eagle
Outfitters,
Inc.
117,117
880
American
Public
Education,
Inc.
n
24,807
77,038
Aptiv
plc
7,062,844
6,271
At
Home
Group,
Inc.
n
93,187
1,917
AutoNation,
Inc.
n
101,467
1,920
AutoZone,
Inc.
n
2,261,069
6,258
Beazer
Homes
USA,
Inc.
n
82,606
13,305
Bed
Bath
&
Beyond,
Inc.
j
199,309
2,165
Big
Lots,
Inc.
96,559
8,224
BJ's
Restaurants,
Inc.
242,115
719
Booking
Holdings,
Inc.
n
1,229,979
15,254
Bright
Horizons
Family
Solutions,
Inc.
n
2,319,218
1,578
Brunswick
Corporation
92,960
9,722
Burlington
Stores,
Inc.
n
2,003,607
6,234
Caesars
Entertainment,
Inc.
n
349,478
5,990
Camping
World
Holdings,
Inc.
178,203
10,807
Capri
Holdings,
Ltd.
n
194,526
7,033
Carnival
Corporation
106,761
139
Cavco
Industries,
Inc.
n
25,063
17,512
Cedar
Fair,
LP
491,562
2,567
Century
Casinos,
Inc.
n
14,067
3,106
Century
Communities,
Inc.
n
131,477
20,601
Chewy,
Inc.
j,n
1,129,553
Shares
Common
Stock
(17.6%)
Value
Consumer
Discretionary
(2.6%)
-
continued
67,330
Chico's
FAS,
Inc.
$
65,478
4,825
Chipotle
Mexican
Grill,
Inc.
n
6,000,901
1,301
Choice
Hotels
International,
Inc.
111,834
2,095
Churchill
Downs,
Inc.
343,203
55,271
Cooper-Standard
Holdings,
Inc.
n
730,130
3,244
Cracker
Barrel
Old
Country
Store,
Inc.
371,957
14,888
Crocs,
Inc.
n
636,164
9,613
Culp,
Inc.
119,393
21,452
D.R.
Horton,
Inc.
1,622,415
5,814
Dana,
Inc.
71,628
5,562
Darden
Restaurants,
Inc.
560,316
8,723
Dave
&
Buster's
Entertainment,
Inc.
j
132,241
2,443
Deckers
Outdoor
Corporation
n
537,484
4,272
Denny's
Corporation
n
42,720
10,065
Designer
Brands,
Inc.
54,653
4,365
Dick's
Sporting
Goods,
Inc.
252,646
3,312
Dine
Brands
Global,
Inc.
180,802
6,754
Domino's
Pizza,
Inc.
2,872,341
237
Dorman
Products,
Inc.
n
21,420
31,665
Duluth
Holdings,
Inc.
j,n
386,946
1,868
Dunkin'
Brands
Group,
Inc.
153,008
2,225
eBay,
Inc.
115,923
14,856
Emerald
Holding,
Inc.
30,306
4,267
Ethan
Allen
Interiors,
Inc.
57,775
9,760
Etsy,
Inc.
n
1,187,109
7,444
Express,
Inc.
n
4,541
5,846
Extended
Stay
America,
Inc.
69,860
17,129
Five
Below,
Inc.
n
2,175,383
4,472
Foot
Locker,
Inc.
147,710
685
Fox
Factory
Holding
Corporation
n
50,916
6,526
Gap,
Inc.
111,138
6,519
Genuine
Parts
Company
620,413
11,326
Goodyear
Tire
&
Rubber
Company
86,870
4,037
Grand
Canyon
Education,
Inc.
n
322,718
8,797
Harley-Davidson,
Inc.
215,878
2,124
Helen
of
Troy,
Ltd.
n
411,036
38,140
Home
Depot,
Inc.
10,591,859
1,104
Hovnanian
Enterprises,
Inc.
n
35,902
3,474
Jack
in
the
Box,
Inc.
275,523
6,405
KB
Home
245,888
13,624
Knoll,
Inc.
164,305
20,326
Kohl's
Corporation
376,641
12,997
L
Brands,
Inc.
413,435
8,879
Lear
Corporation
968,255
15,843
Leggett
&
Platt,
Inc.
652,256
1,371
Lithia
Motors,
Inc.
312,506
33,154
Lowe's
Companies,
Inc.
5,498,922
1,678
Lululemon
Athletica,
Inc.
n
552,683
19,217
Macy's,
Inc.
j
109,537
746
Madison
Square
Garden
Sports
Corporation
n
112,258
6,485
Marcus
Corporation
50,129
1,000
Marriott
Vacations
Worldwide
Corporation
90,810
15,699
Mattel,
Inc.
n
183,678
6,957
McDonald's
Corporation
1,526,992
62
Mercadolibre,
Inc.
n
67,114
3,107
Meritage
Homes
Corporation
n
342,982
15,508
Michaels
Companies,
Inc.
n
149,730
5,977
Miller
Industries,
Inc.
182,717
5,253
Modine
Manufacturing
Company
n
32,831
9,970
Mohawk
Industries,
Inc.
n
972,972
721
Netflix,
Inc.
n
360,522
48,760
NIKE,
Inc.
6,121,330
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
275
Shares
Common
Stock
(17.6%)
Value
Consumer
Discretionary
(2.6%)
-
continued
8,164
Nordstrom,
Inc.
j
$
97,315
15,089
Norwegian
Cruise
Line
Holdings,
Ltd.
j,n
258,173
760
NVR,
Inc.
n
3,103,171
2,108
Office
Depot,
Inc.
41,001
20,136
Ollie's
Bargain
Outlet
Holdings,
Inc.
n
1,758,880
2,393
Overstock.com,
Inc.
n
173,851
2,650
Park
Hotels
&
Resorts,
Inc.
26,474
23,431
Party
City
Holdco,
Inc.
n
60,921
18,051
Penn
National
Gaming,
Inc.
n
1,312,308
46,115
Planet
Fitness,
Inc.
n
2,841,606
42,075
Playa
Hotels
and
Resorts
NV
n
176,294
2,324
Polaris,
Inc.
219,246
1,158
Pool
Corporation
387,397
10,249
PulteGroup,
Inc.
474,426
2,785
PVH
Corporation
166,097
15,236
Qurate
Retail,
Inc.
109,394
1,173
Red
Robin
Gourmet
Burgers,
Inc.
n
15,437
18,494
Red
Rock
Resorts,
Inc.
316,247
1,728
RH
n
661,167
2,409
Royal
Caribbean
Cruises,
Ltd.
155,935
17,404
Ruth's
Hospitality
Group,
Inc.
192,488
5,448
Sally
Beauty
Holdings,
Inc.
n
47,343
1,223
SeaWorld
Entertainment,
Inc.
n
24,118
15,099
Six
Flags
Entertainment
Corporation
306,510
8,425
Skyline
Corporation
n
225,537
5,976
Sleep
Number
Corporation
n
292,286
28,730
Sony
Corporation
ADR
2,205,028
10,988
Standard
Motor
Products,
Inc.
490,614
22,888
Stoneridge,
Inc.
n
420,453
398
Strategic
Education,
Inc.
36,405
29,479
Taylor
Morrison
Home
Corporation
n
724,889
13,687
Tenneco,
Inc.
n
94,988
4,445
Tesla,
Inc.
n
1,906,949
27,688
Texas
Roadhouse,
Inc.
1,683,154
7,875
Thor
Industries,
Inc.
750,173
14,957
Toll
Brothers,
Inc.
727,808
6,517
TopBuild
Corporation
n
1,112,387
7,569
Tri
Pointe
Homes,
Inc.
n
137,302
593
Tupperware
Brands
Corporation
n
11,955
4,318
Ulta
Beauty,
Inc.
n
967,146
3,151
Urban
Outfitters,
Inc.
n
65,572
2,260
Vail
Resorts,
Inc.
483,572
786
Wayfair,
Inc.
n
228,734
791
Whirlpool
Corporation
145,457
3,285
Williams-Sonoma,
Inc.
297,095
4,132
Wingstop,
Inc.
564,638
1,862
Workhorse
Group,
Inc.
j,n
47,071
2,096
Wyndham
Destinations,
Inc.
64,473
1,570
YETI
Holdings,
Inc.
n
71,152
2,650
Yum!
Brands,
Inc.
241,945
16,256
Zumiez,
Inc.
n
452,242
Total
139,870,625
Consumer
Staples
(0.5%)
44,172
BJ's
Wholesale
Club
Holdings,
Inc.
n
1,835,347
8,582
Casey's
General
Stores,
Inc.
1,524,592
13,686
Celsius
Holdings,
Inc.
n
310,809
20,873
Colgate-Palmolive
Company
1,610,352
3,261
Costco
Wholesale
Corporation
1,157,655
67,885
Cott
Corporation
963,967
24,462
e.l.f.
Beauty,
Inc.
n
449,367
14,242
Hain
Celestial
Group,
Inc.
n
488,501
Shares
Common
Stock
(17.6%)
Value
Consumer
Staples
(0.5%)
-
continued
4,546
John
B.
Sanfilippo
&
Son,
Inc.
$
342,677
9,120
Kimberly-Clark
Corporation
1,346,659
21,352
Lamb
Weston
Holdings,
Inc.
1,414,997
1,297
McCormick
&
Company,
Inc.
251,748
690
Medifast,
Inc.
113,470
11,901
Monster
Beverage
Corporation
n
954,460
12,655
PepsiCo,
Inc.
1,753,983
5,032
Philip
Morris
International,
Inc.
377,350
10,140
Procter
&
Gamble
Company
1,409,359
2,529
Seneca
Foods
Corporation
n
90,361
906
Simply
Good
Foods
Company
n
19,977
3,359
TreeHouse
Foods,
Inc.
n
136,140
40,919
Turning
Point
Brands,
Inc.
1,141,640
1,065
Vector
Group,
Ltd.
10,320
46,033
Wal-Mart
Stores,
Inc.
6,440,477
Total
24,144,208
Energy
(0.3%)
23,163
Abraxas
Petroleum
Corporation
n
3,382
19,376
Antero
Midstream
Corporation
104,049
17,006
Apache
Corporation
161,047
50,719
Archrock,
Inc.
272,868
72,218
BP
plc
ADR
1,260,926
26,258
Centennial
Resource
Development,
Inc.
n
15,818
6,887
ChampionX
Corporation
n
55,027
26,306
Chevron
Corporation
1,894,032
23,371
Cimarex
Energy
Company
568,616
16,189
CNX
Resources
Corporation
n
152,824
11,460
Concho
Resources,
Inc.
505,615
19,590
ConocoPhillips
643,336
12,758
Continental
Resources,
Inc.
j
156,668
15,565
Core
Laboratories
NV
237,522
5,400
Delek
US
Holdings,
Inc.
60,102
60,560
Devon
Energy
Corporation
572,898
24,433
Diamondback
Energy,
Inc.
735,922
41,231
EnLink
Midstream,
LLC
96,893
50,414
Enterprise
Products
Partners,
LP
796,037
9,672
EOG
Resources,
Inc.
347,612
31,912
EQT
Corporation
412,622
25,793
Equitrans
Midstream
Corporation
218,209
1,994
Evolution
Petroleum
Corporation
4,467
16,406
Exterran
Corporation
n
68,249
26,255
Exxon
Mobil
Corporation
901,334
24,277
Frank's
International
NV
n
37,387
26,268
Gran
Tierra
Energy,
Inc.
n
6,102
40,960
Halliburton
Company
493,568
61,968
Helmerich
&
Payne,
Inc.
907,831
10,686
Liberty
Oilfield
Services,
Inc.
85,381
87,464
Marathon
Oil
Corporation
357,728
39,687
Marathon
Petroleum
Corporation
1,164,417
109,538
McDermott
International,
Inc.
n
262,891
1,403
Nabors
Industries,
Ltd.
34,289
13,044
NexTier
Oilfield
Solutions,
Inc.
n
24,131
43,685
Nine
Energy
Service,
Inc.
n
49,364
25,704
Oceaneering
International,
Inc.
n
90,478
52,330
Patterson-UTI
Energy,
Inc.
149,140
6,210
PBF
Energy,
Inc.
35,335
2,983
PDC
Energy,
Inc.
n
36,974
7,930
Peabody
Energy
Corporation
18,239
16,272
Pioneer
Natural
Resources
Company
1,399,229
14,209
Plains
GP
Holdings,
LP
86,533
7,193
ProPetro
Holding
Corporation
n
29,204
26,364
QEP
Resources,
Inc.
23,801
13,647
Range
Resources
Corporation
90,343
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
276
Shares
Common
Stock
(17.6%)
Value
Energy
(0.3%)
-
continued
9,359
RPC,
Inc.
n
$
24,708
11,262
Schlumberger,
Ltd.
175,237
19,294
SEACOR
Holdings,
Inc.
n
561,070
27,846
SM
Energy
Company
44,275
48,789
Southwestern
Energy
Company
n
114,654
10,110
Talos
Energy,
Inc.
n
65,209
13,359
Targa
Resources
Corporation
187,427
44,525
TechnipFMC
plc
280,953
3,677
Valero
Energy
Corporation
159,288
76,829
WPX
Energy,
Inc.
n
376,462
Total
17,617,723
Financials
(2.0%)
397
1st
Source
Corporation
12,243
39,870
Aflac,
Inc.
1,449,274
12,334
AG
Mortgage
Investment
Trust,
Inc.
34,042
21,568
Air
Lease
Corporation
634,531
1,830
Alleghany
Corporation
952,423
14,011
Ally
Financial,
Inc.
351,256
2,736
American
Equity
Investment
Life
Holding
Company
60,165
39,647
American
Express
Company
3,974,612
36,646
American
Financial
Group,
Inc.
2,454,549
29,829
American
International
Group,
Inc.
821,192
3,143
Ameriprise
Financial,
Inc.
484,368
8,343
Ameris
Bancorp
190,054
2,960
Aon
plc
610,648
22,586
Apollo
Commercial
Real
Estate
Finance,
Inc.
203,500
2,790
Argo
Group
International
Holdings,
Ltd.
96,060
22,160
Arthur
J.
Gallagher
&
Company
2,339,653
4,514
Artisan
Partners
Asset
Management,
Inc.
176,001
51,161
Associated
Banc-Corp
645,652
47,910
Assured
Guaranty,
Ltd.
1,029,107
9,705
Bancorp,
Inc.
n
83,851
130,930
Bank
of
America
Corporation
3,154,104
2,434
Bank
of
Marin
Bancorp
70,489
15,863
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
353,428
10,331
BankFinancial
Corporation
74,590
13,271
Banner
Corporation
428,122
4,952
Berkshire
Hathaway,
Inc.
n
1,054,479
53,907
Berkshire
Hills
Bancorp,
Inc.
545,000
3,091
BlackRock,
Inc.
1,741,933
4,491
Blackstone
Mortgage
Trust,
Inc.
98,667
75,750
Boston
Private
Financial
Holdings,
Inc.
418,140
1,587
Bridge
Bancorp,
Inc.
27,661
40,219
Bridgewater
Bancshares,
Inc.
n
381,678
6,989
Brighthouse
Financial,
Inc.
n
188,074
26,982
BrightSphere
Investment
Group
348,068
16,267
Brookline
Bancorp,
Inc.
140,628
3,779
Brown
&
Brown,
Inc.
171,075
4,242
Byline
Bancorp,
Inc.
47,850
36,969
Capital
One
Financial
Corporation
2,656,592
12,950
Central
Pacific
Financial
Corporation
175,732
89,391
Charles
Schwab
Corporation
3,238,636
18,252
Chubb,
Ltd.
2,119,422
2,794
Cincinnati
Financial
Corporation
217,848
16,144
CIT
Group,
Inc.
285,910
75,348
Citigroup,
Inc.
3,248,252
6,797
Citizens
Financial
Group,
Inc.
171,828
3,424
Cohen
&
Steers,
Inc.
190,854
Shares
Common
Stock
(17.6%)
Value
Financials
(2.0%)
-
continued
22,202
Columbia
Banking
System,
Inc.
$
529,518
14,232
Comerica,
Inc.
544,374
16,626
Community
Trust
Bancorp,
Inc.
469,851
2,542
Cullen/Frost
Bankers,
Inc.
162,561
726
Customers
Bancorp,
Inc.
n
8,131
453
Diamond
Hill
Investment
Group,
Inc.
57,223
32,205
Discover
Financial
Services
1,860,805
5,895
East
West
Bancorp,
Inc.
193,002
7,138
Ellington
Residential
Mortgage
REIT
79,232
2,074
Encore
Capital
Group,
Inc.
n
80,036
4,556
Enterprise
Financial
Services
Corporation
124,242
10,535
Essent
Group,
Ltd.
389,900
8,369
Evercore,
Inc.
547,835
108,219
Everi
Holdings,
Inc.
n
892,807
18,572
F.N.B.
Corporation
125,918
3,112
FactSet
Research
Systems,
Inc.
1,042,147
3,574
FBL
Financial
Group,
Inc.
172,267
1,322
Federal
Agricultural
Mortgage
Corporation
84,159
11,701
Financial
Institutions,
Inc.
180,195
4,573
First
American
Financial
Corporation
232,811
4,801
First
Bancorp
100,485
38,045
First
BanCorp
198,595
58
First
Bancshares,
Inc.
1,216
23,141
First
Busey
Corporation
367,710
1,057
First
Citizens
BancShares,
Inc.
336,950
5,104
First
Commonwealth
Financial
Corporation
39,505
28,786
First
Financial
Bancorp
345,576
7,828
First
Financial
Corporation
245,799
22,693
First
Interstate
BancSystem,
Inc.
722,772
2,631
First
Merchants
Corporation
60,934
838
First
Mid-Illinois
Bancshares,
Inc.
20,908
16,331
First
Midwest
Bancorp,
Inc.
176,048
1,411
First
of
Long
Island
Corporation
20,897
7,222
First
Republic
Bank
787,631
2,577
Flagstar
Bancorp,
Inc.
76,357
1,949
Flushing
Financial
Corporation
20,503
85,009
Fulton
Financial
Corporation
793,134
7,404
Glacier
Bancorp,
Inc.
237,298
3,866
Goldman
Sachs
Group,
Inc.
776,950
19,122
Granite
Point
Mortgage
Trust,
Inc.
135,575
17,760
Great
Southern
Bancorp,
Inc.
643,267
20,393
Great
Western
Bancorp,
Inc.
253,893
5,734
Hamilton
Lane,
Inc.
370,359
50,035
Hancock
Whitney
Corporation
941,158
6,126
Hanmi
Financial
Corporation
50,294
11,347
Hanover
Insurance
Group,
Inc.
1,057,313
37,467
Hartford
Financial
Services
Group,
Inc.
1,381,034
25,515
Heartland
Financial
USA,
Inc.
765,322
71,814
Heritage
Commerce
Corporation
477,922
14,718
Hometrust
Bancshares,
Inc.
199,870
34,659
Hope
Bancorp,
Inc.
262,889
17,517
Horizon
Bancorp,
Inc.
176,747
4,624
Houlihan
Lokey,
Inc.
273,047
16,982
Independent
Bank
Corporation
213,464
19,288
Interactive
Brokers
Group,
Inc.
932,189
1,704
International
Bancshares
Corporation
44,406
54,399
J.P.
Morgan
Chase
&
Company
5,236,992
18,310
Julius
Baer
Group,
Ltd.
777,670
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
277
Shares
Common
Stock
(17.6%)
Value
Financials
(2.0%)
-
continued
11,500
Kemper
Corporation
$
768,545
23,384
KeyCorp
278,971
13,469
Ladder
Capital
Corporation
95,899
6,724
Lakeland
Bancorp,
Inc.
66,904
2,197
Lincoln
National
Corporation
68,832
4,875
Loews
Corporation
169,406
364
Markel
Corporation
n
354,427
408
MarketAxess
Holdings,
Inc.
196,489
3,061
Marsh
&
McLennan
Companies,
Inc.
351,097
3,933
Mercantile
Bank
Corporation
70,873
27,728
Meridian
Bancorp,
Inc.
286,985
1,191
Meta
Financial
Group,
Inc.
22,891
34,695
MetLife,
Inc.
1,289,613
5,150
Midland
States
Bancorp,
Inc.
66,178
23,939
MidWestOne
Financial
Group,
Inc.
427,790
970
Moody's
Corporation
281,155
55,369
Morgan
Stanley
2,677,091
378
Morningstar,
Inc.
60,711
8,967
Mr.
Cooper
Group,
Inc.
n
200,143
4,501
MSCI,
Inc.
1,605,867
206
National
Western
Life
Group,
Inc.
37,651
6,347
Northern
Trust
Corporation
494,876
8,140
OFG
Bancorp
101,424
3,272
Old
Republic
International
Corporation
48,229
8,515
Old
Second
Bancorp,
Inc.
63,820
18,419
PacWest
Bancorp
314,597
934
Peapack-Gladstone
Financial
Corporation
14,150
2,816
Peoples
Bancorp,
Inc.
53,757
47,864
Popular,
Inc.
1,736,027
21,951
Premier
Financial
Corporation
341,887
6,869
Primerica,
Inc.
777,159
8,210
Prosight
Global,
Inc.
n
93,101
12,514
QCR
Holdings,
Inc.
343,009
27,176
Radian
Group,
Inc.
397,041
26,183
Raymond
James
Financial,
Inc.
1,905,075
18,520
Redwood
Trust,
Inc.
139,270
13,801
Reinsurance
Group
of
America,
Inc.
1,313,717
13,547
S&P
Global,
Inc.
4,885,048
1,816
Safety
Insurance
Group,
Inc.
125,467
19,997
Santander
Consumer
USA
Holdings,
Inc.
363,745
33,833
Seacoast
Banking
Corporation
of
Florida
n
610,009
20,742
SEI
Investments
Company
1,052,034
5,901
Selective
Insurance
Group,
Inc.
303,842
197
Signature
Bank
16,349
14,803
Simmons
First
National
Corporation
234,702
1,942
Southside
Bancshares,
Inc.
47,443
13,768
Starwood
Property
Trust,
Inc.
207,759
4,138
State
Auto
Financial
Corporation
56,939
6,603
Sterling
Bancorp
69,464
4,356
SVB
Financial
Group
n
1,048,141
71,429
Synovus
Financial
Corporation
1,512,152
12,270
T.
Rowe
Price
Group,
Inc.
1,573,259
1,911
TCF
Financial
Corporation
44,641
3,627
Territorial
Bancorp,
Inc.
73,374
3,034
Texas
Capital
Bancshares,
Inc.
n
94,448
4,353
TMX
Group,
Ltd.
447,674
191
Torchmark
Corporation
15,261
3,252
Towne
Bank
53,333
18,847
TPG
RE
Finance
Trust,
Inc.
159,446
Shares
Common
Stock
(17.6%)
Value
Financials
(2.0%)
-
continued
7,272
TriCo
Bancshares
$
178,091
23,440
Triumph
Bancorp,
Inc.
n
729,922
44,290
Truist
Financial
Corporation
1,685,235
23,127
TrustCo
Bank
Corporation
120,723
16,549
Two
Harbors
Investment
Corporation
84,234
9,392
United
Bankshares,
Inc.
201,646
1,178
Univest
Financial
Corporation
16,928
25,374
Valley
National
Bancorp
173,812
1,456
Walker
&
Dunlop,
Inc.
77,168
1,407
Washington
Federal,
Inc.
29,350
5,107
Washington
Trust
Bancorp,
Inc.
156,581
24,977
Webster
Financial
Corporation
659,643
115,559
Wells
Fargo
&
Company
2,716,792
5,851
WesBanco,
Inc.
124,977
29,061
Western
Alliance
Bancorp
918,909
28,940
Western
Asset
Mortgage
Capital
Corporation
59,038
494
Westwood
Holdings
Group,
Inc.
5,503
21,468
Wintrust
Financial
Corporation
859,793
47,891
Zions
Bancorporations
NA
1,399,375
Total
106,158,841
Health
Care
(2.8%)
17,179
Abbott
Laboratories
1,869,591
4,622
AbbVie,
Inc.
404,841
2,218
Acadia
Healthcare
Company,
Inc.
n
65,387
46,794
ACADIA
Pharmaceuticals,
Inc.
n
1,930,252
1,053
Acceleron
Pharma,
Inc.
n
118,494
16,198
ADMA
Biologics,
Inc.
n
38,713
7,351
Adverum
Biotechnologies,
Inc.
n
75,715
6,846
Agile
Therapeutics,
Inc.
j,n
20,812
10,656
Agilent
Technologies,
Inc.
1,075,617
15,809
Agios
Pharmaceuticals,
Inc.
n
553,315
9,487
Akebia
Therapeutics,
Inc.
n
23,812
2,280
Alexion
Pharmaceuticals,
Inc.
n
260,900
1,516
Align
Technology,
Inc.
n
496,278
3,484
Alkermes
plc
n
57,730
4,068
AmerisourceBergen
Corporation
394,271
17,519
Amgen,
Inc.
4,452,629
11,947
AMN
Healthcare
Services,
Inc.
n
698,422
6,653
AnaptysBio,
Inc.
n
98,132
3,866
Anavex
Life
Sciences
Corporation
n
17,590
7,380
Anthem,
Inc.
1,982,194
2,380
Arena
Pharmaceuticals,
Inc.
n
178,000
5,167
Argenx
SE
ADR
n
1,356,441
2,074
Assembly
Biosciences,
Inc.
n
34,097
4,432
Atara
Biotherapeutics,
Inc.
n
57,439
189
Atrion
Corporation
118,314
1,193
AVROBIO,
Inc.
n
15,533
10,320
Axonics
Modulation
Technologies,
Inc.
j,n
526,733
1,001
Axsome
Therapeutics,
Inc.
n
71,321
7,003
Baxter
International,
Inc.
563,181
6,120
Becton,
Dickinson
and
Company
1,424,002
6,180
Biogen,
Inc.
n
1,753,142
18,913
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
n
1,229,534
1,584
Bio-Rad
Laboratories,
Inc.
n
816,489
8,643
Bio-Techne
Corporation
2,141,130
2,467
Bluebird
Bio,
Inc.
n
133,095
1,662
Bruker
Corporation
66,064
3,620
Cantel
Medical
Corporation
159,063
35,269
Catalent,
Inc.
n
3,021,143
38,650
Centene
Corporation
n
2,254,454
32,396
Cerner
Corporation
2,341,907
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
278
Shares
Common
Stock
(17.6%)
Value
Health
Care
(2.8%)
-
continued
4,515
Charles
River
Laboratories
International,
Inc.
n
$
1,022,422
1,622
Chemed
Corporation
779,128
13,842
Cigna
Holding
Company
2,344,973
5,199
Clovis
Oncology,
Inc.
j,n
30,310
11,266
CryoLife,
Inc.
n
208,083
24,593
CVS
Health
Corporation
1,436,231
7,418
CytomX
Therapeutics,
Inc.
n
49,330
3,741
Danaher
Corporation
805,549
1,110
Deciphera
Pharmaceuticals,
Inc.
n
56,943
6,036
Dexcom,
Inc.
n
2,488,220
11,842
Dynavax
Technologies
Corporation
n
51,157
3,159
Editas
Medicine,
Inc.
n
88,642
47,090
Edwards
Lifesciences
Corporation
n
3,758,724
6,604
Eli
Lilly
and
Company
977,524
562
Encompass
Health
Corporation
36,519
13,562
Gilead
Sciences,
Inc.
856,983
35,728
GlaxoSmithKline
plc
ADR
1,344,802
5,565
Global
Blood
Therapeutics,
Inc.
n
306,854
24,629
Guardant
Health,
Inc.
n
2,753,030
5,916
Haemonetics
Corporation
n
516,171
30,660
Halozyme
Therapeutics,
Inc.
n
805,745
13,370
HCA
Healthcare,
Inc.
1,666,972
1,323
HealthStream,
Inc.
n
26,553
9,718
Hill-Rom
Holdings,
Inc.
811,550
7,071
Humana,
Inc.
2,926,616
52
ICU
Medical,
Inc.
n
9,503
515
IDEXX
Laboratories,
Inc.
n
202,452
12,632
ImmunoGen,
Inc.
n
45,475
1,865
Incyte
Corporation
n
167,365
3,007
Insmed,
Inc.
n
96,645
5,919
Inspire
Medical
Systems,
Inc.
n
763,847
8,143
Insulet
Corporation
n
1,926,552
8,698
Intuitive
Surgical,
Inc.
n
6,171,579
6,546
Invitae
Corporation
n
283,769
3,887
Iovance
Biotherapeutics,
Inc.
n
127,960
7,811
IQVIA
Holding,
Inc.
n
1,231,248
3,048
Jazz
Pharmaceuticals,
Inc.
n
434,614
55,390
Johnson
&
Johnson
8,246,463
2,732
Laboratory
Corporation
of
America
Holdings
n
514,354
24,048
LHC
Group,
Inc.
n
5,111,643
1,986
Ligand
Pharmaceuticals,
Inc.
j,n
189,305
4,106
MacroGenics,
Inc.
n
103,430
533
Masimo
Corporation
n
125,820
56,805
Medtronic
plc
5,903,176
67,101
Merck
&
Company,
Inc.
5,566,028
2,720
Mersana
Therapeutics,
Inc.
n
50,646
988
Mesa
Laboratories,
Inc.
251,703
1,257
Mettler-Toledo
International,
Inc.
n
1,213,948
429
Mirati
Therapeutics,
Inc.
n
71,235
5,523
Molina
Healthcare,
Inc.
n
1,010,930
7,028
MyoKardia,
Inc.
n
958,127
3,798
Myovant
Sciences,
Ltd.
n
53,362
13,465
Natera,
Inc.
n
972,712
7,957
National
Healthcare
Corporation
495,801
1,883
Nektar
Therapeutics
n
31,239
1,673
Neogen
Corporation
n
130,912
1,308
Neurocrine
Biosciences,
Inc.
n
125,777
15,161
Nevro
Corporation
n
2,111,927
28,695
Novo
Nordisk
AS
ADR
1,992,294
46,461
Optinose,
Inc.
n
181,198
2,926
Orthifix
Medical,
Inc.
n
91,116
2,028
PerkinElmer,
Inc.
254,534
1,554
Pfizer,
Inc.
57,032
Shares
Common
Stock
(17.6%)
Value
Health
Care
(2.8%)
-
continued
16,891
PRA
Health
Sciences,
Inc.
n
$
1,713,423
1,743
Precision
BioSciences,
Inc.
n
10,737
3,648
Quest
Diagnostics,
Inc.
417,659
1,018
Quidel
Corporation
n
223,329
1,135
Reata
Pharmaceuticals,
Inc.
n
110,572
3,685
Repligen
Corporation
n
543,685
388
Replimune
Group,
Inc.
n
8,932
2,134
Retrophin,
Inc.
n
39,394
2,612
Sage
Therapeutics,
Inc.
n
159,645
3,644
Sarepta
Therapeutics,
Inc.
n
511,727
12,799
Silk
Road
Medical,
Inc.
n
860,221
9,259
Spectrum
Pharmaceuticals,
Inc.
n
37,777
715
STERIS
plc
125,976
18,998
Stryker
Corporation
3,958,613
733
Surmodics,
Inc.
n
28,521
15,103
Syneos
Health,
Inc.
n
802,875
26,654
Tactile
Systems
Technology,
Inc.
n
975,270
7,785
Teladoc
Health,
Inc.
j,n
1,706,783
6,481
Teleflex,
Inc.
2,206,262
6,423
Tenet
Healthcare
Corporation
n
157,428
14,772
Thermo
Fisher
Scientific,
Inc.
6,522,133
4,148
Tilray,
Inc.
j,n
20,118
1,797
U.S.
Physical
Therapy,
Inc.
156,123
997
uniQure
B.V.
n
36,719
1,537
United
Therapeutics
Corporation
n
155,237
9,546
UnitedHealth
Group,
Inc.
2,976,156
2,104
Universal
Health
Services,
Inc.
225,170
41,866
VBI
Vaccines,
Inc.
j,n
119,737
22,657
Veeva
Systems,
Inc.
n
6,370,922
13,221
Vertex
Pharmaceuticals,
Inc.
n
3,597,698
1,306
Viking
Therapeutics,
Inc.
n
7,601
1,875
Waters
Corporation
n
366,900
419
West
Pharmaceutical
Services,
Inc.
115,183
6,170
Zimmer
Biomet
Holdings,
Inc.
839,984
40,861
Zoetis,
Inc.
6,757,184
5,597
Zymeworks,
Inc.
n
260,708
Total
149,446,931
Industrials
(2.1%)
1,964
3M
Company
314,594
22,632
A.O.
Smith
Corporation
1,194,970
749
Acuity
Brands,
Inc.
76,660
4,508
AECOM
n
188,615
4,393
Aegion
Corporation
n
62,073
11,526
Aerojet
Rocketdyne
Holdings,
Inc.
n
459,772
6,902
AGCO
Corporation
512,612
10,204
Allegion
plc
1,009,278
40,171
Altra
Industrial
Motion
Corporation
1,485,122
7,420
American
Airlines
Group,
Inc.
j
91,192
28,266
AMETEK,
Inc.
2,809,640
19,410
Arconic,
Inc.
324,535
32,637
ASGN,
Inc.
n
2,074,408
2,575
Avis
Budget
Group,
Inc.
n
67,774
21,107
AZZ,
Inc.
720,171
2,291
Bloom
Energy
Corporation
n
41,169
7,714
Boeing
Company
1,274,816
13,104
BWX
Technologies,
Inc.
737,886
11,495
Carlisle
Companies,
Inc.
1,406,643
71,450
Carrier
Global
Corporation
2,182,083
30,704
CBIZ,
Inc.
n
702,200
7,991
Chart
Industries,
Inc.
n
561,528
2,393
Cintas
Corporation
796,462
10,074
Copart,
Inc.
n
1,059,382
3,367
CRA
International,
Inc.
126,161
21,824
Crane
Company
1,094,037
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
279
Shares
Common
Stock
(17.6%)
Value
Industrials
(2.1%)
-
continued
12,993
CSW
Industrials,
Inc.
$
1,003,709
16,767
CSX
Corporation
1,302,293
26,361
Curtiss-Wright
Corporation
2,458,427
47,530
Delta
Air
Lines,
Inc.
1,453,467
3,051
Douglas
Dynamics,
Inc.
104,344
4,550
Eaton
Corporation
plc
464,236
17,911
EMCOR
Group,
Inc.
1,212,754
22,241
Emerson
Electric
Company
1,458,342
4,996
Encore
Wire
Corporation
231,914
8,761
Expeditors
International
of
Washington,
Inc.
793,046
18,424
Fluor
Corporation
162,315
16,205
Forrester
Research,
Inc.
n
531,362
15,354
Forward
Air
Corporation
881,013
12,249
FuelCell
Energy,
Inc.
j,n
26,213
5,288
Generac
Holdings,
Inc.
n
1,023,968
23,760
General
Dynamics
Corporation
3,289,097
7,545
Gorman-Rupp
Company
222,276
2,572
Heico
Corporation
269,186
13,072
Helios
Technologies,
Inc.
475,821
30,052
Honeywell
International,
Inc.
4,946,860
9,249
Hubbell,
Inc.
1,265,633
2,689
ICF
International,
Inc.
165,454
21,662
IDEX
Corporation
3,951,365
5,348
Illinois
Tool
Works,
Inc.
1,033,287
2,431
JB
Hunt
Transport
Services,
Inc.
307,230
68,788
Johnson
Controls
International
plc
2,809,990
9,760
Kansas
City
Southern
1,764,901
2,499
L3Harris
Technologies,
Inc.
424,430
14,130
Landstar
System,
Inc.
1,773,174
7,125
Lennox
International,
Inc.
1,942,346
29,859
Lincoln
Electric
Holdings,
Inc.
2,748,222
5,953
Linde
Public
Limited
Company
1,417,588
10,307
Lockheed
Martin
Corporation
3,950,467
17,937
Manpower,
Inc.
1,315,320
2,424
Masonite
International
Corporation
n
238,522
13,128
Mercury
Systems,
Inc.
n
1,016,895
68,084
Meritor,
Inc.
n
1,425,679
15,245
Middleby
Corporation
n
1,367,629
4,806
MSC
Industrial
Direct
Company,
Inc.
304,124
7,624
NAPCO
Security
Technologies,
Inc.
n
179,164
5,612
Nordson
Corporation
1,076,494
11,604
Norfolk
Southern
Corporation
2,483,140
6,948
Nutrien,
Ltd.
272,570
11,490
Old
Dominion
Freight
Line,
Inc.
2,078,771
16,275
Otis
Worldwide
Corporation
1,015,885
16,104
Parker-Hannifin
Corporation
3,258,483
6,747
Quad/Graphics,
Inc.
20,443
30,217
Raven
Industries,
Inc.
650,270
32,550
Raytheon
Technologies
Corporation
1,872,927
9,925
Regal-Beloit
Corporation
931,660
1,139
Republic
Services,
Inc.
106,326
23,174
Ritchie
Brothers
Auctioneers,
Inc.
1,373,059
6,958
Rockwell
Automation,
Inc.
1,535,491
4,069
Roper
Industries,
Inc.
1,607,703
3,292
Ryder
System,
Inc.
139,054
8,985
Saia,
Inc.
n
1,133,368
2,197
Simpson
Manufacturing
Company,
Inc.
213,461
2,736
SiteOne
Landscape
Supply,
Inc.
n
333,655
2,566
Snap-On,
Inc.
377,536
44,639
Southwest
Airlines
Company
1,673,962
Shares
Common
Stock
(17.6%)
Value
Industrials
(2.1%)
-
continued
708
SP
Plus
Corporation
n
$
12,709
1,719
Spirit
Aerosystems
Holdings,
Inc.
32,506
3,023
Spirit
Airlines,
Inc.
n
48,670
1,846
SPX
FLOW,
Inc.
n
79,046
19,637
Standex
International
Corporation
1,162,510
23,081
Summit
Materials,
Inc.
n
381,760
2,907
Teledyne
Technologies,
Inc.
n
901,780
2,933
Thermon
Group
Holdings,
Inc.
n
32,938
5,932
Timken
Company
321,633
11,570
Toro
Company
971,301
20,330
Trex
Company,
Inc.
n
1,455,628
27,911
TriMas
Corporation
n
636,371
2,844
UniFirst
Corporation
538,568
7,390
Union
Pacific
Corporation
1,454,869
7,613
United
Airlines
Holdings,
Inc.
n
264,552
244
United
Parcel
Service,
Inc.
40,658
24,692
United
Rentals,
Inc.
n
4,308,754
12,627
Valmont
Industries,
Inc.
1,568,021
9,549
Verisk
Analytics,
Inc.
1,769,525
5,675
Waste
Connections,
Inc.
589,065
4,168
Watsco,
Inc.
970,686
17,269
Willdan
Group,
Inc.
n
440,532
5,950
XPO
Logistics,
Inc.
n
503,727
Total
113,725,913
Information
Technology
(4.6%)
10,561
Accenture
plc
2,386,680
17,509
Adobe,
Inc.
n
8,586,939
4,468
ADTRAN,
Inc.
45,819
5,701
Advanced
Energy
Industries,
Inc.
n
358,821
5,550
Advanced
Micro
Devices,
Inc.
n
455,044
23,085
Agilysys,
Inc.
n
557,734
4,123
Akamai
Technologies,
Inc.
n
455,756
12,342
Alliance
Data
Systems
Corporation
518,117
2,388
American
Software,
Inc.
33,528
37,308
Amphenol
Corporation
4,039,337
1,523
Analog
Devices,
Inc.
177,795
27,020
Anaplan,
Inc.
n
1,690,912
4,156
ANSYS,
Inc.
n
1,359,968
313,353
Apple,
Inc.
36,289,411
2,475
Aspen
Technology,
Inc.
n
313,310
6,764
Atlassian
Corporation
plc
n
1,229,628
2,026
Automatic
Data
Processing,
Inc.
282,607
6,850
Avalara,
Inc.
n
872,279
4,708
Avnet,
Inc.
121,655
5,028
Bandwidth,
Inc.
j,n
877,738
14,891
Benchmark
Electronics,
Inc.
300,054
12,620
Blackline,
Inc.
n
1,131,131
71
Broadcom,
Ltd.
25,867
6,262
Broadridge
Financial
Solutions,
Inc.
826,584
1,163
CACI
International,
Inc.
n
247,905
983
Cadence
Design
Systems,
Inc.
n
104,817
21,803
CDK
Global,
Inc.
950,393
25,160
CDW
Corporation
3,007,375
1,417
Ceridian
HCM
Holding,
Inc.
n
117,115
42,246
Change
Healthcare,
Inc.
n
612,989
15,616
Ciena
Corporation
n
619,799
148,838
Cisco
Systems,
Inc.
5,862,729
5,070
Cognex
Corporation
330,057
12,082
Computer
Services,
Inc.
749,084
8,474
Coupa
Software,
Inc.
n
2,323,910
7,077
Cree,
Inc.
n
451,088
9,158
CTS
Corporation
201,751
7,999
Descartes
Systems
Group,
Inc.
n
455,783
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
280
Shares
Common
Stock
(17.6%)
Value
Information
Technology
(4.6%)
-
continued
12,402
DocuSign,
Inc.
n
$
2,669,406
36,630
Dolby
Laboratories,
Inc.
2,427,836
1,781
Domo,
Inc.
n
68,266
11,836
Dropbox,
Inc.
n
227,961
2,575
DSP
Group,
Inc.
n
33,938
27,334
Elastic
NV
n
2,949,065
6,940
Endava
plc
ADR
n
438,261
2,282
EPAM
Systems,
Inc.
n
737,725
5,662
ePlus,
Inc.
n
414,458
16,316
Euronet
Worldwide,
Inc.
n
1,486,388
18,132
Eventbrite,
Inc.
n
196,732
8,492
ExlService
Holdings,
Inc.
n
560,217
1,851
eXp
World
Holdings,
Inc.
n
74,669
3,358
F5
Networks,
Inc.
n
412,262
2,425
Fair
Isaac
Corporation
n
1,031,547
7,016
Five9,
Inc.
n
909,835
1,104
FLIR
Systems,
Inc.
39,578
1,965
Gartner,
Inc.
n
245,527
13,668
Global
Payments,
Inc.
2,427,163
10,430
Guidewire
Software,
Inc.
n
1,087,536
8,462
Health
Catalyst,
Inc.
j,n
309,709
6,230
II-VI,
Inc.
n
252,689
3,839
Inphi
Corporation
n
430,928
3,408
Intel
Corporation
176,466
3,131
InterDigital,
Inc.
178,655
707
International
Business
Machines
Corporation
86,021
4,192
Intuit,
Inc.
1,367,472
2,931
Jack
Henry
&
Associates,
Inc.
476,551
10,536
Juniper
Networks,
Inc.
226,524
79
KLA-Tencor
Corporation
15,305
6,602
Lam
Research
Corporation
2,190,214
29,295
Lattice
Semiconductor
Corporation
n
848,383
3,732
Littelfuse,
Inc.
661,833
19,021
Lumentum
Holdings,
Inc.
n
1,429,048
1,937
Manhattan
Associates,
Inc.
n
184,964
3,434
ManTech
International
Corporation
236,534
42,500
MasterCard,
Inc.
14,372,225
2,200
MaxLinear,
Inc.
n
51,128
21,124
Medallia,
Inc.
j,n
579,220
943
Methode
Electronics,
Inc.
26,876
525
Microchip
Technology,
Inc.
53,949
172,383
Microsoft
Corporation
36,257,316
3,887
MicroStrategy,
Inc.
n
585,227
15,511
MKS
Instruments,
Inc.
1,694,267
15,760
Monolithic
Power
Systems,
Inc.
4,406,654
2,180
Motorola
Solutions,
Inc.
341,846
11,291
MTS
Systems
Corporation
215,771
19,239
National
Instruments
Corporation
686,832
349
NetApp,
Inc.
15,300
7,132
Nice,
Ltd.
ADR
j,n
1,619,178
5,229
Nova
Measuring
Instruments,
Ltd.
n
272,640
2,762
Novanta,
Inc.
n
290,949
36,691
Nuance
Communications,
Inc.
n
1,217,774
19,468
NVIDIA
Corporation
10,536,471
49,581
Oracle
Corporation
2,959,986
7,070
Palo
Alto
Networks,
Inc.
n
1,730,383
4,410
Paychex,
Inc.
351,786
58
Paylocity
Holding
Corporation
n
9,362
38,661
PayPal
Holdings,
Inc.
n
7,617,377
6,943
Plexus
Corporation
n
490,384
3,276
Progress
Software
Corporation
120,164
2,821
Proofpoint,
Inc.
n
297,757
5,377
Q2
Holdings,
Inc.
n
490,705
5,685
QAD,
Inc.
239,907
Shares
Common
Stock
(17.6%)
Value
Information
Technology
(4.6%)
-
continued
4,482
Qorvo,
Inc.
n
$
578,223
21,251
QUALCOMM,
Inc.
2,500,818
932
Qualys,
Inc.
n
91,345
2,790
Rogers
Corporation
n
273,587
14,579
SailPoint
Technologies
Holdings,
Inc.
n
576,891
10,454
Salesforce.com,
Inc.
n
2,627,299
1,917
Samsung
Electronics
Company,
Ltd.
GDR
2,430,610
6,646
ScanSource,
Inc.
n
131,790
3,286
Semtech
Corporation
n
174,027
19,492
ServiceNow,
Inc.
n
9,453,620
2,992
Silicon
Laboratories,
Inc.
n
292,767
315
Skyworks
Solutions,
Inc.
45,833
389
Solaredge
Technology,
Ltd.
n
92,718
34,617
Square,
Inc.
n
5,626,993
52,205
STMicroelectronics
NV
ADR
j
1,602,171
14,033
Synopsys,
Inc.
n
3,002,781
5,238
TE
Connectivity,
Ltd.
511,962
38,165
Texas
Instruments,
Inc.
5,449,580
238
Tyler
Technologies,
Inc.
n
82,957
5,715
VeriSign,
Inc.
n
1,170,718
73,304
Visa,
Inc.
14,658,601
6,038
VMware,
Inc.
j,n
867,479
5,882
WEX,
Inc.
n
817,422
15,775
Workiva,
Inc.
n
879,614
1,286
Zendesk,
Inc.
n
132,355
10,339
Zscaler,
Inc.
n
1,454,594
Total
249,539,364
Materials
(0.5%)
4,169
AdvanSix,
Inc.
n
53,697
976
Air
Products
and
Chemicals,
Inc.
290,711
6,866
AptarGroup,
Inc.
777,231
3,098
Avery
Dennison
Corporation
396,048
53,320
Axalta
Coating
Systems,
Ltd.
n
1,182,104
382
Balchem
Corporation
37,295
4,823
Ball
Corporation
400,888
4,985
Cabot
Corporation
179,610
1,919
Carpenter
Technology
Corporation
34,849
2,073
Celanese
Corporation
222,744
51,976
CF
Industries
Holdings,
Inc.
1,596,183
18,422
Chemours
Company
385,204
46,669
Eastman
Chemical
Company
3,645,782
21,519
Ecolab,
Inc.
4,300,357
51,532
Element
Solutions,
Inc.
n
541,601
19,660
Ferroglobe
Representation
&
Warranty
Insurance
Trust
c,n
2
1,711
FMC
Corporation
181,212
3,755
Ingevity
Corporation
n
185,647
11,133
Innospec,
Inc.
704,942
146,706
Ivanhoe
Mines,
Ltd.
n
533,256
13,578
Kaiser
Aluminum
Corporation
727,645
1,863
Kraton
Performance
Polymers,
Inc.
n
33,199
47,368
Louisiana-Pacific
Corporation
1,397,830
11,118
Martin
Marietta
Materials,
Inc.
2,616,733
6,935
Materion
Corporation
360,828
6,482
Minerals
Technologies,
Inc.
331,230
17,466
Myers
Industries,
Inc.
231,075
10,908
Neenah,
Inc.
408,723
31,161
Nucor
Corporation
1,397,882
2,143
Olympic
Steel,
Inc.
24,344
5,179
PPG
Industries,
Inc.
632,252
6,414
Quaker
Chemical
Corporation
1,152,660
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
281
Shares
Common
Stock
(17.6%)
Value
Materials
(0.5%)
-
continued
1,427
Reliance
Steel
&
Aluminum
Company
$
145,611
2,233
RPM
International,
Inc.
184,982
8,725
Ryerson
Holding
Corporation
n
49,994
1,905
Scotts
Miracle-Gro
Company
291,294
5,004
Sensient
Technologies
Corporation
288,931
1,654
Sherwin-Williams
Company
1,152,408
13,603
Steel
Dynamics,
Inc.
389,454
9,122
UFP
Technologies,
Inc.
n
377,833
6,792
United
States
Lime
&
Minerals,
Inc.
611,959
8,018
United
States
Steel
Corporation
58,852
12,717
W.
R.
Grace
&
Company
512,368
1,902
Worthington
Industries,
Inc.
77,564
Total
29,105,014
Real
Estate
(0.8%)
37,221
Agree
Realty
Corporation
2,368,744
1,351
Alexandria
Real
Estate
Equities,
Inc.
216,160
51,223
American
Campus
Communities,
Inc.
1,788,707
14,922
American
Tower
Corporation
3,607,095
11,467
Apartment
Investment
&
Management
Company
386,667
9,900
Armada
Hoffler
Properties,
Inc.
91,674
2,976
Ashford
Hospitality
Trust,
Inc.
4,910
7,072
AvalonBay
Communities,
Inc.
1,056,132
530
BBX
Capital
Corporation
7,097
197
Bluerock
Residential
Growth
REIT,
Inc.
1,493
17,583
Camden
Property
Trust
1,564,535
10,754
CareTrust
REIT,
Inc.
191,367
29,533
CBL
&
Associates
Properties,
Inc.
n
4,758
50,965
CBRE
Group,
Inc.
n
2,393,826
32,867
Cedar
Realty
Trust,
Inc.
26,622
8,823
Colliers
International
Group,
Inc.
588,406
6,047
Colony
Credit
Real
Estate,
Inc.
29,691
4,902
Columbia
Property
Trust,
Inc.
53,481
5,328
Community
Healthcare
Trust,
Inc.
249,137
4,177
Corepoint
Lodging,
Inc.
22,765
1,482
CoreSite
Realty
Corporation
176,180
3,158
CoStar
Group,
Inc.
n
2,679,595
20,801
Cushman
and
Wakefield
plc
n
218,619
43
CyrusOne,
Inc.
3,011
1,511
Digital
Realty
Trust,
Inc.
221,754
10,048
Diversified
Healthcare
Trust
35,369
7,010
Douglas
Emmett,
Inc.
175,951
6,863
Duke
Realty
Corporation
253,245
4,916
EastGroup
Properties,
Inc.
635,786
6,260
EPR
Properties
172,150
6,130
Equity
Lifestyle
Properties,
Inc.
375,769
55,006
Essential
Properties
Realty
Trust,
Inc.
1,007,710
2,795
Essex
Property
Trust,
Inc.
561,208
5,526
Farmland
Partners,
Inc.
36,803
47,419
First
Industrial
Realty
Trust,
Inc.
1,887,276
3,948
FirstService
Corporation
520,702
37,729
Four
Corners
Property
Trust,
Inc.
965,485
9,371
Gaming
and
Leisure
Properties,
Inc.
346,071
10,202
Getty
Realty
Corporation
265,354
4,967
Gladstone
Commercial
Corporation
83,694
543
Gladstone
Land
Corporation
8,156
3,651
Global
Medical
REIT,
Inc.
49,289
19,702
Healthcare
Realty
Trust,
Inc.
593,424
Shares
Common
Stock
(17.6%)
Value
Real
Estate
(0.8%)
-
continued
88,297
Host
Hotels
&
Resorts,
Inc.
$
952,725
15,062
Industrial
Logistics
Properties
Trust
329,406
3,090
Innovative
Industrial
Properties,
Inc.
383,500
2,757
Investors
Real
Estate
Trust
179,674
3,812
Jones
Lang
LaSalle,
Inc.
364,656
33,665
Kilroy
Realty
Corporation
1,749,233
1,588
Lamar
Advertising
Company
105,078
8,756
Lexington
Realty
Trust
91,500
50,887
Medical
Properties
Trust,
Inc.
897,138
1,731
MGM
Growth
Properties
LLC
48,433
1,221
National
Health
Investors,
Inc.
73,590
17,940
National
Retail
Properties,
Inc.
619,109
67,725
National
Storage
Affiliates
Trust
2,215,285
30,023
New
Residential
Investment
Corporation
238,683
9,553
New
Senior
Investment
Group,
Inc.
38,212
5,780
NexPoint
Residential
Trust,
Inc.
256,343
7,606
Omega
Healthcare
Investors,
Inc.
227,724
4,262
One
Liberty
Properties,
Inc.
69,726
4,897
Physicians
Realty
Trust
87,705
2,348
Plymouth
Industrial
REIT,
Inc.
28,974
3,804
PotlatchDeltic
Corporation
160,148
10,563
Preferred
Apartment
Communities,
Inc.
57,040
10,148
Rayonier,
Inc.
REIT
268,313
15,769
Realty
Income
Corporation
957,967
1,023
Retail
Properties
of
America,
Inc.
5,944
7,975
Rexford
Industrial
Realty,
Inc.
364,936
714
RMR
Group,
Inc.
19,614
29,723
Sabra
Health
Care
REIT,
Inc.
409,732
4,363
SBA
Communications
Corporation
1,389,528
62,068
Service
Properties
Trust
493,441
16,335
Spirit
Realty
Capital,
Inc.
551,306
11,741
STAG
Industrial,
Inc.
357,983
13,185
Store
Capital
Corporation
361,665
68,353
Sunstone
Hotel
Investors,
Inc.
542,723
4,325
Terreno
Realty
Corporation
236,837
7,991
UDR,
Inc.
260,587
5,019
UMH
Properties,
Inc.
67,957
16,850
Uniti
Group,
Inc.
177,515
293
Universal
Health
Realty
Income
Trust
16,698
7,811
WP
Carey,
Inc.
508,965
Total
42,091,461
Utilities
(0.2%)
1,836
ALLETE,
Inc.
94,995
4,044
Alliant
Energy
Corporation
208,873
6,151
Artesian
Resources
Corporation
212,025
3,381
Black
Hills
Corporation
180,850
11,176
CenterPoint
Energy,
Inc.
216,256
840
Chesapeake
Utilities
Corporation
70,812
3,386
CMS
Energy
Corporation
207,934
5,228
Consolidated
Water
Company,
Ltd.
54,423
2,200
DTE
Energy
Company
253,088
21,580
Duke
Energy
Corporation
1,911,125
14,310
Entergy
Corporation
1,409,964
1,781
Essential
Utilities,
Inc.
71,685
27,616
Exelon
Corporation
987,549
27,937
FirstEnergy
Corporation
802,071
4,099
Hawaiian
Electric
Industries,
Inc.
136,251
3,941
IDACORP,
Inc.
314,886
939
Middlesex
Water
Company
58,359
1,809
National
Fuel
Gas
Company
73,427
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
282
Shares
Common
Stock
(17.6%)
Value
Utilities
(0.2%)
-
continued
7,877
New
Jersey
Resources
Corporation
$
212,836
2,851
NextEra
Energy,
Inc.
791,324
1,016
Northwest
Natural
Holding
Company
46,116
4,976
NorthWestern
Corporation
242,033
6,865
OGE
Energy
Corporation
205,881
3,117
Otter
Tail
Corporation
112,742
8,241
PNM
Resources,
Inc.
340,600
6,510
Portland
General
Electric
Company
231,105
1,365
South
Jersey
Industries,
Inc.
26,304
2,799
Southwest
Gas
Holdings,
Inc.
176,617
6,320
Spire,
Inc.
336,224
9,813
UGI
Corporation
323,633
3,236
Unitil
Corporation
125,039
Total
10,435,027
Total
Common
Stock
(cost
$679,578,010)
948,366,332
Shares
Collateral
Held
for
Securities
Loaned
(
0.6%
)
Value
29,452,376
Thrivent
Cash
Management
Trust
29,452,376
Total
Collateral
Held
for
Securities
Loaned
(cost
$29,452,376)
29,452,376
Shares
or
Principal
Amount
Short-Term
Investments
(
15.5%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
3,600,000
0.074%,
10/14/2020
o,p
3,599,922
3,400,000
0.080%,
10/28/2020
o,p
3,399,847
4,400,000
0.090%,
11/6/2020
o,p
4,399,692
1,900,000
0.060%,
11/10/2020
o,p
1,899,852
200,000
0.080%,
11/12/2020
o,p
199,984
2,900,000
0.070%,
11/18/2020
o,p
2,899,729
9,200,000
0.070%,
11/19/2020
o,p
9,199,123
7,800,000
0.055%,
12/8/2020
o,p
7,798,674
6,900,000
0.075%,
12/22/2020
o,p
6,898,585
Thrivent
Core
Short-Term
Reserve
Fund
79,272,170
0.310%
792,721,703
U.S.
Treasury
Bills
100,000
0.101%,
10/15/2020
o
99,997
1,200,000
0.093%,
11/19/2020
o,q
1,199,853
100,000
0.085%,
12/3/2020
o,q
99,982
1,400,000
0.081%,
12/10/2020
m,o,r
1,399,728
Total
Short-Term
Investments
(cost
$835,932,385)
835,816,671
Total
Investments
(cost
$5,457,945,792)
110.5%
$5,956,741,260
Other
Assets
and
Liabilities,
Net
(10.5%)
(563,960,341)
Total
Net
Assets
100.0%
$5,392,780,919
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
f
In
bankruptcy. Interest
is
not
being
accrued.
g
In
bankruptcy. Interest
is
being
accrued
per
the
bankruptcy
agreement
terms.
h
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$290,804,614
or
5.4%
of
total
net
assets.
i
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
30,
2020.
j
All
or
a
portion
of
the
security
is
on
loan.
k
Denotes
interest
only
security. Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets. The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
l
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
m
All
or
a
portion
of
the
security
was
earmarked
to
cover
written
options.
n
Non-income
producing
security.
o
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
p
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
q
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
r
At
September
30,
2020,
$819,841
of
investments
were
segregated
to
cover
exposure
to
a
counterparty
for
margin
on
open
mortgage-backed
security
transactions.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Moderately
Conservative
Allocation
Portfolio
as
of
September
30,
2020
was
$336,000
or
0.0%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Security
Acquisition
Date
Cost
Windstream
Services,
LLC,
10/31/2025
11/6/2017
$
549,832
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
283
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Moderately
Conservative
Allocation
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
3,214,810
Common
Stock
25,691,067
Total
lending
$28,905,877
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$29,452,376
Net
amounts
due
to
counterparty
$546,499
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
FNMA
-
Federal
National
Mortgage
Association
GDR
-
Global
Depository
Receipts,
which
are
certificates
for
shares
of
an
underlying
foreign
security’s
shares
held
by
an
issuing
depository
bank
from
more
than
one
country.
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
1W
-
ICE
Libor
USD
Rate
1
Week
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
284
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Moderately
Conservative
Allocation
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
4,671,467
–
4,080,437
591,030
Capital
Goods
12,559,613
–
12,559,613
–
Communications
Services
27,265,143
–
25,880,606
1,384,537
Consumer
Cyclical
18,081,278
–
17,267,153
814,125
Consumer
Non-Cyclical
20,712,118
–
20,712,118
–
Energy
3,531,474
–
3,531,474
–
Financials
9,184,019
–
9,184,019
–
Technology
12,066,010
–
12,066,010
–
Transportation
3,559,532
–
3,559,532
–
Utilities
3,798,837
–
3,798,837
–
Long-Term
Fixed
Income
Asset-Backed
Securities
94,141,450
–
94,141,450
–
Basic
Materials
22,641,192
–
22,641,192
–
Capital
Goods
32,880,383
–
32,880,383
–
Collateralized
Mortgage
Obligations
72,792,969
–
72,792,969
–
Commercial
Mortgage-Backed
Securities
16,645,497
–
16,645,497
–
Communications
Services
75,924,141
–
75,924,141
–
Consumer
Cyclical
54,840,708
–
54,840,708
–
Consumer
Non-Cyclical
89,101,668
–
89,101,668
–
Energy
59,856,061
–
59,856,061
–
Financials
130,893,112
–
130,893,112
–
Mortgage-Backed
Securities
703,157,790
–
703,157,790
–
Technology
52,180,329
–
52,180,329
–
Transportation
11,472,774
–
11,472,774
–
U.S.
Government
&
Agencies
729,466,849
–
729,466,849
–
Utilities
50,438,740
–
50,438,740
–
Registered
Investment
Companies
Unaffiliated
27,903,047
27,903,047
–
–
Affiliated
1,381,824,233
1,381,824,233
–
–
Common
Stock
Communications
Services
66,231,225
66,193,730
–
37,495
Consumer
Discretionary
139,870,625
139,870,625
–
–
Consumer
Staples
24,144,208
24,144,208
–
–
Energy
17,617,723
17,617,723
–
–
Financials
106,158,841
104,933,497
1,225,344
–
Health
Care
149,446,931
149,446,931
–
–
Industrials
113,725,913
113,725,913
–
–
Information
Technology
249,539,364
247,108,754
2,430,610
–
Materials
29,105,014
28,571,756
533,256
2
Real
Estate
42,091,461
42,091,461
–
–
Utilities
10,435,027
10,435,027
–
–
Short-Term
Investments
43,094,968
–
43,094,968
–
Subtotal
Investments
in
Securities
$4,713,051,734
$2,353,866,905
$2,356,357,640
$2,827,189
Other
Investments *
Total
Affiliated
Short-Term
Investments
792,721,703
Affiliated
Registered
Investment
Companies
421,515,447
Collateral
Held
for
Securities
Loaned
29,452,376
Subtotal
Other
Investments
$1,243,689,526
Total
Investments
at
Value
$5,956,741,260
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
285
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
EAFE
-
Europe,
Australasia
and
Far
East
ICE
-
Intercontinental
Exchange
MSCI
-
Morgan
Stanley
Capital
International
S&P
-
Standard
&
Poor's
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
601,709
601,709
–
–
Total
Asset
Derivatives
$601,709
$601,709
$–
$–
Liability
Derivatives
Futures
Contracts
5,538,711
5,538,711
–
–
Call
Options
Written
96,545
–
–
96,545
Credit
Default
Swaps
10,794
–
10,794
–
Total
Liability
Derivatives
$5,646,050
$5,538,711
$10,794
$96,545
The
following
table
presents
Moderately
Conservative
Allocation
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$40,295,408
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
208
December
2020
$
45,949,138
$
10,737
CBOT
5-Yr.
U.S.
Treasury
Note
971
December
2020
122,265,582
110,762
CBOT
U.S.
Long
Bond
839
December
2020
148,900,902
(
1,000,933)
CME
E-mini
Russell
2000
Index
8
December
2020
595,817
5,943
CME
E-mini
S&P
500
Index
1,378
December
2020
230,890,606
62,194
CME
E-mini
S&P
Mid-Cap
400
Index
3
December
2020
554,793
1,977
CME
Euro
Foreign
Exchange
Currency
175
December
2020
25,849,735
(
178,328)
Eurex
Euro
STOXX
50
Index
703
December
2020
27,299,976
(
1,089,238)
ICE
US
mini
MSCI
Emerging
Markets
Index
2,099
December
2020
116,231,452
(
1,993,377)
Ultra
10-Yr.
U.S.
Treasury
Note
89
December
2020
14,261,146
(
28,099)
Total
Futures
Long
Contracts
$
732,799,147
(
$
4,098,362)
CBOT
10-Yr.
U.S.
Treasury
Note
(648)
December
2020
(
$
90,313,237)
(
$
103,013)
CME
E-mini
Russell
2000
Index
(3,298)
December
2020
(
247,019,108)
(
1,056,452)
CME
E-mini
S&P
Mid-Cap
400
Index
(458)
December
2020
(
84,910,950)
(
89,271)
ICE
mini
MSCI
EAFE
Index
(234)
December
2020
(
22,092,536)
410,096
Total
Futures
Short
Contracts
(
$
444,335,831)
($838,640)
Total
Futures
Contracts
$
288,463,316
($4,937,002)
The
following
table
presents
Moderately
Conservative
Allocation
Portfolio's
options
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$519,899
were
pledged
as
collateral
for
these
contracts.
Option
_
Description
(Underlying
Security
Description)
Counter-
party
Number
of
Contracts
Exercise
Price
Expiration
Date
Notional
Principal
Amount
Value
Unrealized
Appreciation/
(Depreciation)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(26.25)
$
104.88
October
2020
(27,531,738)
(
$
38,094)
$
68,547
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
FNMA
Conventional
30-Yr.
Pass
Through
Call
Option
(*)
MSC
(8.38)
102.78
November
2020
(8,636,963)
(
58,451)
(
8,724)
(Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through)
Total
Options
Written
Contracts
($96,545)
$59,822
(*) Security
is
valued
using
significant
unobservable
inputs.
Market
quotations
or
prices
were
not
readily
available
or
were
determined
to
be
unreliable.
Value
was
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
286
Counterparty:
MSC
-
Morgan
Stanley
&
Company
The
following
table
presents
Moderately
Conservative
Allocation
Portfolio's
swaps
contracts
held
as
of
September
30,
2020.
Investments
totaling
$1,299,836
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
35,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2025
$
16,200,000
$
–
(
$
10,794)
(
$
10,794)
Total
Credit
Default
Swaps
$–
($10,794)
($10,794)
1
As
the
buyer
of
protection,
Moderately
Conservative
Allocation
Portfolio
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Moderately
Conservative
Allocation
Portfolio
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Moderately
Conservative
Allocation
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
287
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Moderately
Conservative
Allocation
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$154,966
$28,590
$–
$183,717
18,708
3.4%
Core
Emerging
Markets
Equity*
–
27,500
–
28,785
2,822
0.5
Core
International
Equity
53,554
–
–
48,721
5,493
0.9
Core
Low
Volatility
Equity
116,663
43,001
–
160,294
13,347
3.0
Global
Stock
42,724
4,902
–
42,980
3,478
0.8
High
Yield
139,303
5,423
–
135,286
30,314
2.5
Income
420,340
11,877
–
452,015
40,748
8.4
International
Allocation
194,588
7,757
15,000
160,502
17,979
3.0
International
Index*
–
15,000
–
17,278
1,549
0.3
Large
Cap
Value
198,399
7,306
–
174,672
10,803
3.2
Limited
Maturity
Bond
246,521
4,127
–
253,625
25,262
4.7
Mid
Cap
Stock
100,286
3,838
–
99,205
5,379
1.8
Small
Cap
Stock
51,227
5,474
–
46,262
3,003
0.9
Total
Affiliated
Registered
Investment
Companies
1,718,571
1,803,342
33.4
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
614,264
889,380
710,568
792,722
79,272
14.7
Total
Affiliated
Short-Term
Investments
614,264
792,722
14.7
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
11,361
478,246
460,155
29,452
29,452
0.6
Total
Collateral
Held
for
Securities
Loaned
11,361
29,452
0.6
Total
Value
$2,344,196
$2,625,516
*
Non-income
producing
security.
Moderately
Conservative
Allocation
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
288
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$161
–
$5,875
Core
Emerging
Markets
Equity*
–
1,285
–
–
Core
International
Equity
–
(4,833)
–
–
Core
Low
Volatility
Equity
–
630
–
–
Global
Stock
–
(4,646)
4,195
708
High
Yield
–
(9,440)
–
5,420
Income
–
19,798
2,093
9,788
International
Allocation
(11,322)
(15,521)
2,646
5,110
International
Index*
–
2,278
–
–
Large
Cap
Value
–
(31,033)
3,873
3,433
Limited
Maturity
Bond
–
2,977
–
4,125
Mid
Cap
Stock
–
(4,919)
3,359
479
Small
Cap
Stock
–
(10,439)
5,151
323
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(239)
(115)
–
5,120
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$40,381
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
135
Total
Affiliated
Income
from
Securities
Loaned,
Net
$135
Total
Value
$(11,561)
$(53,817)
$21,317
*
Non-income
producing
security.
Money
Market
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
289
Principal
Amount
U.S.
Government
Agency
Debt
(
82.6%
)
a
Value
Federal
Agricultural
Mortgage
Corporation
$
1,920,000
0.232%
(LIBOR
1M
+
0.080%),
10/23/2020
b
$
1,920,000
1,700,000
0.140%
(SOFRRATE
+
0.070%),
11/10/2020
b
1,700,000
1,160,000
0.217%
(LIBOR
1M
+
0.060%),
2/2/2021
b
1,160,000
3,030,000
0.166%
(LIBOR
1M
+
0.010%),
5/20/2021
b
3,030,000
2,830,000
0.145%
(LIBOR
1M
FLAT),
7/28/2021
b
2,830,000
2,800,000
0.210%
(LIBOR
1M
+
0.060%),
10/18/2021
b
2,800,000
950,000
0.000%
(LIBOR
1M
FLAT),
11/22/2021
b,c
950,000
1,000,000
0.231%
(LIBOR
3M
+
-0.010%),
12/2/2021
b
1,000,000
1,350,000
0.379%
(LIBOR
3M
+
0.080%),
1/3/2022
b
1,352,387
Federal
Farm
Credit
Bank
3,355,000
0.190%
(FEDL
1M
+
0.100%),
12/16/2020
b
3,354,963
2,560,000
0.210%
(USBMMY
3M
+
0.110%),
12/28/2020
b
2,558,999
2,800,000
0.308%
(LIBOR
1M
+
0.160%),
1/25/2021
b
2,802,266
1,400,000
0.185%
(LIBOR
1M
+
0.040%),
1/28/2021
b
1,400,708
950,000
0.210%
(FEDL
1M
+
0.120%),
2/9/2021
b
949,914
2,265,000
0.151%
(LIBOR
1M
FLAT),
3/17/2021
b
2,265,000
705,000
0.166%
(LIBOR
1M
+
0.015%),
3/17/2021
b
705,023
1,140,000
0.233%
(LIBOR
3M
+
-0.035%),
4/30/2021
b
1,140,000
3,400,000
0.120%
(LIBOR
1M
+
-0.025%),
5/28/2021
b
3,398,752
2,880,000
0.160%
(SOFRRATE
+
0.090%),
7/15/2021
b
2,880,000
2,750,000
0.129%
(LIBOR
3M
+
-0.120%),
8/6/2021
b
2,749,875
1,275,000
0.156%
(LIBOR
1M
FLAT),
8/9/2021
b
1,273,423
900,000
0.256%
(LIBOR
1M
+
0.100%),
9/9/2021
b
900,000
1,100,000
0.171%
(LIBOR
1M
+
0.020%),
9/17/2021
b
1,100,552
1,000,000
0.150%
(LIBOR
1M
FLAT),
10/18/2021
b
1,000,021
1,350,000
0.166%
(LIBOR
1M
+
0.010%),
10/20/2021
b
1,350,000
750,000
0.187%
(LIBOR
1M
+
0.030%),
11/2/2021
b
749,843
1,000,000
0.289%
(LIBOR
1M
+
0.130%),
11/5/2021
b
1,001,508
715,000
0.123%
(LIBOR
3M
+
-0.120%),
11/10/2021
b
714,821
1,000,000
0.240%
(LIBOR
1M
+
0.090%),
11/18/2021
b
1,001,543
800,000
0.241%
(LIBOR
1M
+
0.090%),
12/13/2021
b
800,393
2,225,000
0.156%
(LIBOR
1M
FLAT),
12/22/2021
b
2,224,565
Principal
Amount
U.S.
Government
Agency
Debt
(82.6%)
a
Value
$
1,120,000
0.252%
(LIBOR
1M
+
0.100%),
12/23/2021
b
$
1,121,409
2,500,000
0.390%
(LIBOR
1M
+
0.240%),
1/18/2022
b
2,500,959
2,300,000
0.260%
(SOFRRATE
+
0.190%),
7/14/2022
b
2,300,000
Federal
Home
Loan
Bank
1,420,000
0.185%
(SOFRRATE
+
0.105%),
10/1/2020
b
1,420,000
1,030,000
2.625% ,
10/1/2020
1,030,000
5,440,000
0.085% ,
10/7/2020
5,439,923
1,350,000
0.090% ,
10/9/2020
1,349,973
2,125,000
0.116% ,
10/14/2020
2,124,911
800,000
0.110% ,
10/23/2020
799,946
10,340,000
0.150%
(SOFRRATE
+
0.080%),
10/23/2020
b
10,340,367
1,560,000
0.145%
(LIBOR
1M
FLAT),
10/26/2020
b
1,560,000
1,500,000
0.290% ,
10/26/2020
1,499,688
100,000
0.090% ,
11/6/2020
99,991
1,000,000
0.110%
(SOFRRATE
+
0.040%),
11/20/2020
b
1,000,000
5,000,000
0.090%
(SOFRRATE
+
0.020%),
12/9/2020
b
5,000,000
2,900,000
0.090%
(SOFRRATE
+
0.020%),
12/11/2020
b
2,899,971
3,920,000
0.098%
(LIBOR
3M
+
-0.135%),
12/18/2020
b
3,918,806
2,830,000
0.110%
(LIBOR
1M
+
-0.040%),
12/18/2020
b
2,830,059
3,370,000
0.170%
(SOFRRATE
+
0.100%),
12/23/2020
b
3,369,731
2,810,000
0.100%
(SOFRRATE
+
0.030%),
12/30/2020
b
2,810,000
3,540,000
0.100%
(SOFRRATE
+
0.030%),
1/4/2021
b
3,540,000
830,000
0.164%
(LIBOR
3M
+
-0.135%),
1/4/2021
b
829,971
4,200,000
0.100%
(SOFRRATE
+
0.030%),
1/15/2021
b
4,200,000
3,000,000
0.100%
(SOFRRATE
+
0.030%),
1/21/2021
b
3,000,000
2,650,000
0.170%
(SOFRRATE
+
0.100%),
1/25/2021
b
2,650,000
485,000
0.120%
(SOFRRATE
+
0.050%),
1/28/2021
b
484,793
4,135,000
0.102%
(LIBOR
1M
+
-0.050%),
2/16/2021
b
4,135,012
2,830,000
0.106%
(LIBOR
1M
+
-0.050%),
2/22/2021
b
2,830,020
2,000,000
0.105%
(SOFRRATE
+
0.035%),
2/25/2021
b
1,999,229
1,430,000
0.105%
(SOFRRATE
+
0.035%),
3/10/2021
b
1,430,000
3,000,000
0.135%
(LIBOR
1M
+
-0.010%),
3/26/2021
b
3,000,312
2,830,000
0.143%
(LIBOR
3M
+
-0.125%),
4/14/2021
b
2,829,668
700,000
0.126%
(LIBOR
1M
+
-0.030%),
4/20/2021
b
699,891
1,100,000
0.125%
(LIBOR
1M
+
-0.020%),
4/27/2021
b
1,100,009
1,650,000
0.136%
(LIBOR
1M
+
-0.020%),
5/3/2021
b
1,650,000
1,000,000
0.146%
(LIBOR
1M
+
-0.010%),
5/3/2021
b
999,951
Money
Market
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
290
Principal
Amount
U.S.
Government
Agency
Debt
(82.6%)
a
Value
$
2,820,000
0.146%
(LIBOR
1M
+
-0.010%),
6/2/2021
b
$
2,820,000
1,135,000
0.205%
(SOFRRATE
+
0.135%),
6/4/2021
b
1,134,999
725,000
0.145%
(SOFRRATE
+
0.075%),
7/23/2021
b
724,485
2,500,000
0.220%
(SOFRRATE
+
0.150%),
9/3/2021
b
2,500,000
1,000,000
0.380%
(SOFRRATE
+
0.310%),
9/24/2021
b
1,000,000
1,320,000
0.210%
(SOFRRATE
+
0.140%),
9/29/2021
b
1,320,000
Federal
Home
Loan
Mortgage
Corporation
1,470,000
0.470%
(SOFRRATE
+
0.400%),
10/21/2021
b
1,471,141
500,000
0.215%
(SOFRRATE
+
0.145%),
12/9/2021
b
500,000
Federal
National
Mortgage
Association
2,800,000
0.200%
(SOFRRATE
+
0.130%),
6/11/2021
b
2,800,197
2,000,000
0.220%
(SOFRRATE
+
0.150%),
12/9/2021
b
2,000,000
900,000
0.300%
(SOFRRATE
+
0.230%),
5/6/2022
b
900,437
Jordan
Government
International
Bond
2,710,000
2.503% ,
10/30/2020
2,714,994
Resolution
Funding
Corporation
Principal
Strip
2,050,000
1.560% ,
10/15/2020
2,048,693
U.S.
International
Development
Finance
Corporation
1,009,615
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,009,615
3,590,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
3,590,000
1,410,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,410,000
1,233,754
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,233,754
1,154,846
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,154,846
2,000,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
2,000,000
1,760,000
0.130%
(T-BILL
3M
+
0.070%),
10/7/2020
b
1,760,000
2,375,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
2,375,000
3,700,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
3,700,000
1,511,250
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,511,250
1,284,790
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,284,790
1,105,263
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,105,263
675,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
675,000
2,850,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
2,850,000
1,145,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,145,000
554,715
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
554,715
Principal
Amount
U.S.
Government
Agency
Debt
(82.6%)
a
Value
$
3,600,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
$
3,600,000
1,226,211
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,226,211
2,250,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
2,250,000
1,314,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,314,000
1,630,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,630,000
1,580,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,580,000
1,300,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,300,000
2,043,396
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
2,043,396
835,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
835,000
2,000,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
2,000,000
1,362,264
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,362,264
2,470,000
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
2,470,000
2,540,368
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
2,540,368
1,326,923
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
1,326,923
957,895
0.130%
(T-BILL
3M
FLAT),
10/7/2020
b
957,895
964,342
0.150%
(T-BILL
3M
FLAT),
10/7/2020
b
964,342
1,828,800
0.150%
(T-BILL
3M
FLAT),
10/7/2020
b
1,828,800
1,764,792
0.150%
(T-BILL
3M
FLAT),
10/7/2020
b
1,764,792
2,468,880
0.150%
(T-BILL
3M
FLAT),
10/7/2020
b
2,468,880
400,080
0.150%
(T-BILL
3M
FLAT),
10/7/2020
b
400,080
2,656,800
0.150%
(T-BILL
3M
FLAT),
10/7/2020
b
2,656,800
1,420,000
1.900% ,
11/11/2020
1,444,673
552,000
1.940% ,
11/15/2020
561,415
1,130,000
1.900% ,
11/17/2020
1,148,696
1,000,000
1.016% ,
1/26/2021
1,072,565
750,000
1.016% ,
1/26/2021
804,424
3,565,000
1.016% ,
1/26/2021
3,835,237
775,000
1.680% ,
2/11/2021
783,273
1,235,000
1.000% ,
4/9/2021
1,240,905
Total
238,564,264
Principal
Amount
U.S.
Treasury
Debt
(
14.2%
)
a
Value
U.S.
Treasury
Bills
11,120,000
0.027% ,
10/1/2020
11,120,000
2,750,000
0.051% ,
10/6/2020
2,749,981
2,860,000
0.096% ,
10/13/2020
2,859,908
4,050,000
0.070% ,
10/20/2020
4,049,850
5,680,000
0.080% ,
10/27/2020
5,679,672
2,500,000
0.081% ,
11/3/2020
c
2,499,844
2,850,000
0.097% ,
11/5/2020
2,849,731
2,500,000
0.088% ,
11/12/2020
2,499,745
U.S.
Treasury
Notes
2,550,000
0.145%
(USBMMY
3M
+
0.045%),
10/31/2020
b
2,547,561
Money
Market
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
291
Principal
Amount
U.S.
Treasury
Debt
(14.2%)
a
Value
$
1,790,000
0.215%
(USBMMY
3M
+
0.115%),
1/31/2021
b
$
1,789,267
890,000
0.239%
(USBMMY
3M
+
0.139%),
4/30/2021
b
889,975
1,100,000
0.320%
(USBMMY
3M
+
0.220%),
7/31/2021
b
1,100,641
Total
40,636,175
Principal
Amount
U.S.
Treasury
Repurchase
Agreement,
if
collateralized
only
by
U.S.
Treasuries
(including
Strips)
and
cash
(
6.9%
)
a
Value
RBC
Dominion
Securities,
Inc.
20,000,000
0.040% ,
10/1/2020
d
20,000,000
Total
20,000,000
Total
Investments
(cost
$299,200,439)
103.7%
$299,200,439
Other
Assets
and
Liabilities,
Net
(3.7)%
(10,726,208)
Total
Net
Assets
100.0%
$288,474,231
a
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
d
Repurchase
agreement
dated
September
30,
2020,
$20,000,022
maturing
October
1,
2020,
collateralized
by
$20,356,451
United
States
Department
of
The
Treasury,
0.04%
due
October
1,
2020.
Reference
Rate
Index:
FEDL
1M
-
Federal
Funds
1
Month
Rate
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
SOFRRATE
-
Secured
Overnight
Financing
Rate
T-BILL
3M
-
U.
S.
Treasury
Bill
Rate
3
Month
USBMMY
3M
-
U.
S.
Treasury
Bill
Rate
3
Month
Money
Market
Yield
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Money
Market
Portfolio's
assets
carried
at
fair
value
or
amortized
cost,
which
approximates
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
U.S.
Government
Agency
Debt
238,564,264
–
238,564,264
–
U.S.
Treasury
Debt
40,636,175
–
40,636,175
–
U.S.
Treasury
Repurchase
Agreement,
if
collateralized
only
by
U.S.
Treasuries
(including
Strips)
and
cash
20,000,000
–
20,000,000
–
Total
Investments
at
Amortized
Cost
$299,200,439
$–
$299,200,439
$–
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
292
Principal
Amount
Long-Term
Fixed
Income
(
52.8%
)
Value
Basic
Materials
(1.7%)
Alcoa
Nederland
Holding
BV
$
30,000
5.500%,
12/15/2027
a
$
31,266
BWAY
Holding
Company
30,000
5.500%,
4/15/2024
a
30,106
Cleveland-Cliffs,
Inc.
15,000
5.750%,
3/1/2025
13,950
20,000
9.875%,
10/17/2025
a
22,325
First
Quantum
Minerals,
Ltd.
65,000
7.250%,
4/1/2023
a
64,919
Freeport-McMoRan,
Inc.
30,000
4.125%,
3/1/2028
30,375
30,000
4.250%,
3/1/2030
30,750
Krayton
Polymers,
LLC
40,000
7.000%,
4/15/2025
a
40,800
Methanex
Corporation
40,000
5.250%,
12/15/2029
39,550
Novelis
Corporation
20,000
4.750%,
1/30/2030
a
19,519
Olin
Corporation
45,000
5.125%,
9/15/2027
44,550
Peabody
Securities
Finance
Corporation
35,000
6.375%,
3/31/2025
a
14,000
Tronox
Finance
plc
65,000
5.750%,
10/1/2025
a
64,025
Total
446,135
Capital
Goods
(2.8%)
AECOM
55,000
5.125%,
3/15/2027
59,407
Amsted
Industries,
Inc.
50,000
5.625%,
7/1/2027
a
53,191
Ardagh
Packaging
Finance
plc
35,000
6.000%,
2/15/2025
a
36,340
20,000
5.250%,
8/15/2027
a
20,380
Chart
Industries,
Inc.,
Convertible
8,000
1.000%,
11/15/2024
a
11,088
Covanta
Holding
Corporation
50,000
6.000%,
1/1/2027
52,000
5,000
5.000%,
9/1/2030
5,047
Crown
Cork
&
Seal
Company,
Inc.
50,000
7.375%,
12/15/2026
59,444
Fortive
Corporation,
Convertible
10,000
0.875%,
2/15/2022
10,019
General
Electric
Company
100,000
5.000%,
1/21/2021
b,c
79,676
Greenbrier
Companies,
Inc.,
Convertible
3,000
2.875%,
2/1/2024
2,744
H&E
Equipment
Services,
Inc.
45,000
5.625%,
9/1/2025
46,913
Jeld-Wen,
Inc.
30,000
4.625%,
12/15/2025
a
30,150
KBR,
Inc.,
Convertible
18,000
2.500%,
11/1/2023
20,295
Patrick
Industries,
Inc.,
Convertible
4,000
1.000%,
2/1/2023
3,935
Standard
Industries,
Inc.
50,000
4.375%,
7/15/2030
a
51,263
TransDigm,
Inc.
20,000
6.250%,
3/15/2026
a
20,971
55,000
5.500%,
11/15/2027
52,858
TTM
Technologies,
Inc.,
Convertible
7,000
1.750%,
12/15/2020
8,273
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Capital
Goods
(2.8%)
-
continued
United
Rentals
North
America,
Inc.
$
15,000
5.500%,
5/15/2027
$
15,956
60,000
4.000%,
7/15/2030
61,350
WESCO
Distribution,
Inc.
30,000
7.250%,
6/15/2028
a
32,870
Total
734,170
Collateralized
Mortgage
Obligations
(0.4%)
GMACM
Mortgage
Loan
Trust
32,817
3.991%,
11/19/2035,
Ser.
2005-AR6,
Class
1A1
b
31,007
Residential
Accredit
Loans,
Inc.
Trust
68,055
6.000%,
1/25/2037,
Ser.
2007-QS1,
Class
1A1
66,129
Total
97,136
Communications
Services
(6.7%)
Altice
France
SA
20,000
5.500%,
1/15/2028
a
20,250
CCO
Holdings,
LLC
55,000
5.500%,
5/1/2026
a
57,337
120,000
4.500%,
8/15/2030
a
126,005
20,000
4.250%,
2/1/2031
a
20,718
CSC
Holdings,
LLC
50,000
4.125%,
12/1/2030
a
50,962
70,000
4.625%,
12/1/2030
a
70,331
DISH
Network
Corporation,
Convertible
32,000
3.375%,
8/15/2026
29,376
Embarq
Corporation
30,000
7.995%,
6/1/2036
35,522
Entercom
Media
Corporation
20,000
6.500%,
5/1/2027
a
17,400
Front
Range
BidCo,
Inc.
50,000
4.000%,
3/1/2027
a
49,211
GCI
Liberty,
Inc.,
Convertible
50,000
1.750%,
9/30/2046
a
85,675
GCI,
LLC
20,000
4.750%,
10/15/2028
a,d
20,250
Gray
Television,
Inc.
45,000
5.875%,
7/15/2026
a
46,687
iHeartCommunications,
Inc.
25,000
4.750%,
1/15/2028
a
23,561
Level
3
Financing,
Inc.
85,000
4.625%,
9/15/2027
a
87,338
40,000
4.250%,
7/1/2028
a
40,613
Liberty
Media
Corporation,
Convertible
4,000
1.000%,
1/30/2023
4,745
Meredith
Corporation
20,000
6.500%,
7/1/2025
a
20,600
Netflix,
Inc.
65,000
4.875%,
4/15/2028
72,638
Nexstar
Escrow
Corporation
40,000
5.625%,
7/15/2027
a
41,958
Nielsen
Finance,
LLC
20,000
5.625%,
10/1/2028
a
20,550
SFR
Group
SA
50,000
7.375%,
5/1/2026
a
52,395
Sirius
XM
Radio,
Inc.
50,000
5.000%,
8/1/2027
a
52,229
40,000
4.125%,
7/1/2030
a
40,992
Sprint
Capital
Corporation
20,000
6.875%,
11/15/2028
24,907
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
293
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Communications
Services
(6.7%)
-
continued
$
10,000
8.750%,
3/15/2032
$
14,638
Sprint
Corporation
60,000
7.250%,
9/15/2021
62,775
75,000
7.625%,
2/15/2025
87,750
Telesat
Canada
/
Telesat,
LLC
35,000
4.875%,
6/1/2027
a
35,142
T-Mobile
USA,
Inc.
65,000
4.500%,
2/1/2026
66,976
Univision
Communications,
Inc.
40,000
6.625%,
6/1/2027
a
39,050
VeriSign,
Inc.
125,000
4.750%,
7/15/2027
132,500
Viacom,
Inc.
44,000
5.875%,
2/28/2057
b
44,774
Virgin
Media
Secured
Finance
plc
60,000
5.500%,
8/15/2026
a
62,550
VTR
Finance
BV
10,000
6.375%,
N/A
a
10,500
Windstream
Services,
LLC
30,000
8.625%,
10/31/2025
*,e
18,000
Ziggo
BV
40,000
5.500%,
1/15/2027
a
41,900
Total
1,728,805
Consumer
Cyclical
(6.0%)
1011778
B.C.,
ULC
65,000
4.375%,
1/15/2028
a
66,287
Allied
Universal
Holdco,
LLC
30,000
6.625%,
7/15/2026
a
31,950
Allison
Transmission,
Inc.
65,000
4.750%,
10/1/2027
a
66,869
Booking
Holdings,
Inc.,
Convertible
2,000
0.900%,
9/15/2021
2,128
Brookfield
Property
REIT,
Inc.
20,000
5.750%,
5/15/2026
a
15,761
Brookfield
Residential
Properties,
Inc.
50,000
6.250%,
9/15/2027
a
50,421
Burlington
Stores,
Inc.,
Convertible
20,000
2.250%,
4/15/2025
a
23,830
Carnival
Corporation
20,000
11.500%,
4/1/2023
a
22,420
20,000
10.500%,
2/1/2026
a
22,150
Cedar
Fair,
LP
25,000
5.250%,
7/15/2029
23,734
Colt
Merger
Sub,
Inc.
45,000
6.250%,
7/1/2025
a
46,912
Dana,
Inc.
40,000
5.625%,
6/15/2028
41,300
Dick's
Sporting
Goods,
Inc.,
Convertible
14,000
3.250%,
4/15/2025
a
25,635
Ford
Motor
Company
10,000
9.000%,
4/22/2025
11,465
10,000
9.625%,
4/22/2030
12,912
20,000
7.450%,
7/16/2031
22,936
Ford
Motor
Credit
Company,
LLC
70,000
4.063%,
11/1/2024
69,913
40,000
4.134%,
8/4/2025
39,617
General
Motors
Financial
Company,
Inc.
40,000
5.700%,
9/30/2030
b,c
40,150
Hanesbrands,
Inc.
70,000
4.875%,
5/15/2026
a
74,725
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Consumer
Cyclical
(6.0%)
-
continued
Herc
Holdings,
Inc.
$
30,000
5.500%,
7/15/2027
a
$
31,040
Hilton
Domestic
Operating
Company,
Inc.
20,000
5.125%,
5/1/2026
20,525
Hilton
Worldwide
Finance,
LLC
50,000
4.875%,
4/1/2027
50,796
International
Game
Technology
plc
30,000
5.250%,
1/15/2029
a
30,338
KB
Home
30,000
4.800%,
11/15/2029
33,075
L
Brands,
Inc.
20,000
6.625%,
10/1/2030
a
20,350
Landry's,
Inc.
30,000
6.750%,
10/15/2024
a
25,050
Lennar
Corporation
65,000
4.750%,
5/30/2025
70,940
Marriott
Vacations
Worldwide
Corporation,
Convertible
4,000
1.500%,
9/15/2022
3,932
Mattamy
Group
Corporation
50,000
5.250%,
12/15/2027
a
51,375
MGM
Resorts
International
55,000
5.500%,
4/15/2027
57,475
Norwegian
Cruise
Line
Holdings,
Ltd.
20,000
10.250%,
2/1/2026
a
20,838
Penn
National
Gaming,
Inc.,
Convertible
3,000
2.750%,
5/15/2026
9,628
Prime
Security
Services
Borrower,
LLC
65,000
5.750%,
4/15/2026
a
69,510
20,000
3.375%,
8/31/2027
a
19,225
Royal
Caribbean
Cruises,
Ltd.
20,000
9.125%,
6/15/2023
a
21,200
10,000
11.500%,
6/1/2025
a
11,622
Scientific
Games
International,
Inc.
65,000
5.000%,
10/15/2025
a
65,406
ServiceMaster
Company,
LLC
55,000
5.125%,
11/15/2024
a
56,238
Six
Flags
Entertainment
Corporation
20,000
5.500%,
4/15/2027
a,f
18,966
Six
Flags
Theme
Parks,
Inc.
10,000
7.000%,
7/1/2025
a
10,638
Staples,
Inc.
50,000
7.500%,
4/15/2026
a
46,073
Under
Armour,
Inc.,
Convertible
3,000
1.500%,
6/1/2024
a
3,749
Wyndham
Destinations,
Inc.
20,000
6.625%,
7/31/2026
a
20,952
Wyndham
Hotels
&
Resorts,
Inc.
10,000
4.375%,
8/15/2028
a
9,700
Yum!
Brands,
Inc.
60,000
4.750%,
1/15/2030
a
64,650
Total
1,554,406
Consumer
Non-Cyclical
(5.2%)
Albertson's
Companies,
Inc.
60,000
3.500%,
3/15/2029
a
58,237
Aramark
Services,
Inc.
20,000
6.375%,
5/1/2025
a
20,833
Bausch
Health
Companies,
Inc.
30,000
7.000%,
1/15/2028
a
31,725
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
294
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Consumer
Non-Cyclical
(5.2%)
-
continued
$
10,000
5.000%,
1/30/2028
a
$
9,712
Centene
Corporation
50,000
5.375%,
6/1/2026
a
52,774
10,000
4.250%,
12/15/2027
10,464
20,000
4.625%,
12/15/2029
21,573
20,000
3.000%,
10/15/2030
d
20,375
DaVita,
Inc.
40,000
4.625%,
6/1/2030
a
41,056
Edgewell
Personal
Care
Company
20,000
5.500%,
6/1/2028
a
21,045
Encompass
Health
Corporation
50,000
4.500%,
2/1/2028
50,250
Energizer
Holdings,
Inc.
75,000
6.375%,
7/15/2026
a
80,640
40,000
4.375%,
3/31/2029
a
40,400
HCA,
Inc.
100,000
5.375%,
2/1/2025
109,500
Illumina,
Inc.,
Convertible
2,000
0.500%,
6/15/2021
2,566
Ionis
Pharmaceuticals,
Inc.,
Convertible
4,000
0.125%,
12/15/2024
a
3,683
JBS
USA,
LLC
75,000
6.500%,
4/15/2029
a
83,248
Kraft
Foods
Group,
Inc.
30,000
5.000%,
6/4/2042
32,813
Kraft
Heinz
Foods
Company
40,000
4.625%,
1/30/2029
44,508
60,000
3.750%,
4/1/2030
a
63,338
20,000
4.250%,
3/1/2031
a
21,928
Molina
Healthcare,
Inc.
30,000
4.375%,
6/15/2028
a
30,615
Par
Pharmaceutical,
Inc.
40,000
7.500%,
4/1/2027
a
41,907
Post
Holdings,
Inc.
30,000
5.750%,
3/1/2027
a
31,538
QBE
Insurance
Group,
Ltd.
40,000
5.875%,
5/12/2025
a,b,c
42,450
Scotts
Miracle-Gro
Company
40,000
4.500%,
10/15/2029
42,375
Simmons
Foods,
Inc.
20,000
5.750%,
11/1/2024
a
20,021
Spectrum
Brands,
Inc.
15,000
5.750%,
7/15/2025
15,465
10,000
5.000%,
10/1/2029
a
10,375
10,000
5.500%,
7/15/2030
a
10,550
Teleflex,
Inc.
30,000
4.250%,
6/1/2028
a
31,050
Tenet
Healthcare
Corporation
25,000
4.625%,
7/15/2024
25,063
50,000
5.125%,
11/1/2027
a
51,430
Teva
Pharmaceutical
Finance
Netherlands
III
BV
40,000
2.800%,
7/21/2023
38,250
TreeHouse
Foods,
Inc.
20,000
4.000%,
9/1/2028
20,228
VRX
Escrow
Corporation
95,000
6.125%,
4/15/2025
a
97,256
Total
1,329,241
Energy
(5.3%)
Antero
Resources
Corporation
25,000
5.000%,
3/1/2025
15,625
Apache
Corporation
40,000
4.875%,
11/15/2027
37,800
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Energy
(5.3%)
-
continued
$
10,000
4.375%,
10/15/2028
$
9,150
Archrock
Partners,
LP
35,000
6.250%,
4/1/2028
a
32,987
BP
Capital
Markets
plc
40,000
4.875%,
3/22/2030
b,c
42,800
Buckeye
Partners,
LP
30,000
3.950%,
12/1/2026
28,001
10,000
4.125%,
12/1/2027
9,475
Cheniere
Energy
Partners,
LP
70,000
5.625%,
10/1/2026
72,800
Comstock
Resources,
Inc.
20,000
9.750%,
8/15/2026
20,504
Continental
Resources,
Inc.
20,000
5.000%,
9/15/2022
19,863
DCP
Midstream
Operating,
LP
20,000
5.625%,
7/15/2027
20,460
Enagas
SA
45,000
5.500%,
1/15/2028
a
40,500
Enbridge,
Inc.
87,000
6.250%,
3/1/2078
b
88,305
48,000
5.750%,
7/15/2080
b
49,670
Endeavor
Energy
Resources,
LP
10,000
5.500%,
1/30/2026
a
9,925
30,000
5.750%,
1/30/2028
a
30,150
Energy
Transfer
Operating,
LP
25,000
6.625%,
2/15/2028
b,c
16,992
EnLink
Midstream
Partners,
LP
40,000
5.600%,
4/1/2044
25,700
Enterprise
Products
Operating,
LLC
75,000
4.875%,
8/16/2077
b
65,326
EQM
Midstream
Partners,
LP
30,000
6.500%,
7/1/2027
a
31,801
10,000
5.500%,
7/15/2028
10,070
EQT
Corporation
40,000
3.900%,
10/1/2027
36,450
EQT
Corporation,
Convertible
7,000
1.750%,
5/1/2026
a
7,978
Harvest
Midstream,
LP
20,000
7.500%,
9/1/2028
a
19,900
Murphy
Oil
Corporation
25,000
5.875%,
12/1/2027
21,351
Nabors
Industries,
Ltd.
35,000
7.250%,
1/15/2026
a
17,238
NuStar
Logistics,
LP
30,000
5.750%,
10/1/2025
30,984
Occidental
Petroleum
Corporation
19,000
2.700%,
8/15/2022
17,753
50,000
2.900%,
8/15/2024
42,422
20,000
3.400%,
4/15/2026
15,950
30,000
3.500%,
8/15/2029
23,004
20,000
6.450%,
9/15/2036
17,000
40,000
4.400%,
4/15/2046
28,539
Parsley
Energy,
LLC
45,000
5.625%,
10/15/2027
a
44,775
PDC
Energy,
Inc.,
Convertible
1,000
1.125%,
9/15/2021
948
Pioneer
Natural
Resources
Company,
Convertible
6,000
0.250%,
5/15/2025
a
6,606
Plains
All
American
Pipeline,
LP
60,000
6.125%,
11/15/2022
b,c
38,064
QEP
Resources,
Inc.
20,000
5.625%,
3/1/2026
11,350
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
295
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Energy
(5.3%)
-
continued
Sunoco,
LP
$
40,000
5.500%,
2/15/2026
$
39,950
Targa
Resources
Partners,
LP
50,000
5.375%,
2/1/2027
50,281
TransCanada
Trust
100,000
5.300%,
3/15/2077
b
100,175
Transocean
Guardian,
Ltd.
23,401
5.875%,
1/15/2024
a
15,093
Western
Midstream
Operating,
LP
10,000
6.250%,
2/1/2050
9,263
20,000
3.950%,
6/1/2025
18,796
WPX
Energy,
Inc.
65,000
5.250%,
10/15/2027
65,975
Total
1,357,749
Financials
(15.4%)
Ally
Financial,
Inc.
45,000
5.750%,
11/20/2025
50,516
Ares
Capital
Corporation,
Convertible
5,000
4.625%,
3/1/2024
5,184
BAC
Capital
Trust
XIV
34,000
4.000%,
(LIBOR
3M
+
0.400%),
10/19/2020
b,c
33,600
Bank
of
America
Corporation
242,000
6.250%,
9/5/2024
b,c
259,242
84,000
5.875%,
3/15/2028
b,c
90,573
Bank
of
New
York
Mellon
Corporation
20,000
4.700%,
9/20/2025
b,c
21,220
Bank
of
Nova
Scotia
60,000
4.900%,
6/4/2025
b,c
62,100
Barclays
plc
100,000
8.000%,
6/15/2024
b,c
106,500
BNP
Paribas
SA
40,000
7.625%,
3/30/2021
a,b,c
40,700
Cascades
USA,
Inc.
40,000
5.125%,
1/15/2026
a
41,908
Charles
Schwab
Corporation
176,000
5.375%,
6/1/2025
b,c
190,705
CIT
Group,
Inc.
55,000
4.750%,
2/16/2024
56,615
Citigroup,
Inc.
124,000
6.125%,
11/15/2020
b,c
122,211
68,000
5.000%,
9/12/2024
b,c
67,660
34,000
5.950%,
5/15/2025
b,c
35,615
Comerica,
Inc.
20,000
5.625%,
7/1/2025
b,c
21,000
Credit
Acceptance
Corporation
25,000
5.125%,
12/31/2024
a
24,826
Credit
Agricole
SA
40,000
8.125%,
12/23/2025
a,b,c
47,000
Credit
Suisse
Group
AG
51,000
7.500%,
12/11/2023
a,b,c
55,590
ESH
Hospitality,
Inc.
30,000
5.250%,
5/1/2025
a
30,300
10,000
4.625%,
10/1/2027
a
9,813
Euronet
Worldwide,
Inc.,
Convertible
8,000
0.750%,
3/15/2049
7,655
Fifth
Third
Bancorp
46,000
4.500%,
9/30/2025
b,c
46,287
FTI
Consulting,
Inc.,
Convertible
16,000
2.000%,
8/15/2023
19,601
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Financials
(15.4%)
-
continued
Goldman
Sachs
Group,
Inc.
$
46,000
4.165%,
(LIBOR
3M
+
3.922%),
11/2/2020
b,c
$
45,209
50,000
5.500%,
8/10/2024
b,c
52,750
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Convertible
9,000
4.125%,
9/1/2022
14,471
Hartford
Financial
Services
Group,
Inc.
100,000
2.405%,
(LIBOR
3M
+
2.125%),
2/12/2047
a,b
86,021
HSBC
Holdings
plc
55,000
6.375%,
3/30/2025
b,c
57,568
36,000
6.500%,
3/23/2028
b,c
38,227
Huntington
Bancshares,
Inc.
64,000
4.450%,
10/15/2027
b,c
63,360
Icahn
Enterprises,
LP
70,000
6.375%,
12/15/2025
71,958
Iron
Mountain,
Inc.
65,000
4.875%,
9/15/2027
a
66,285
iStar,
Inc.,
Convertible
2,000
3.125%,
9/15/2022
2,127
J.P.
Morgan
Chase
&
Company
140,000
3.616%,
(LIBOR
3M
+
3.320%),
1/1/2021
b,c
129,528
105,000
5.150%,
5/1/2023
b,c
105,525
40,000
6.750%,
2/1/2024
b,c
43,300
168,000
5.000%,
8/1/2024
b,c
167,710
J.P.
Morgan
Chase
Capital
XXIII
100,000
1.280%,
(LIBOR
3M
+
1.000%),
5/15/2047
b
77,831
Lincoln
National
Corporation
100,000
2.638%,
(LIBOR
3M
+
2.358%),
5/17/2066
b
72,151
Lloyds
Banking
Group
plc
40,000
7.500%,
6/27/2024
b,c
41,950
100,000
6.657%,
5/21/2037
a,b,c
118,500
MetLife,
Inc.
40,000
3.850%,
9/15/2025
b,c
39,850
92,000
5.875%,
3/15/2028
b,c
100,050
MGIC
Investment
Corporation,
Convertible
21,000
9.000%,
4/1/2063
a
26,827
MGM
Growth
Properties
Operating
Partnership,
LP
35,000
4.500%,
9/1/2026
35,508
MPT
Operating
Partnership,
LP
50,000
4.625%,
8/1/2029
52,023
Nippon
Life
Insurance
Company
72,000
3.400%,
1/23/2050
a,b
76,680
Outfront
Media
Cap,
LLC
60,000
4.625%,
3/15/2030
a
57,600
Provident
Financing
Trust
I
25,000
7.405%,
3/15/2038
28,676
Prudential
Financial,
Inc.
138,000
5.625%,
6/15/2043
b
146,563
86,000
5.200%,
3/15/2044
b
91,083
20,000
3.700%,
10/1/2050
b
20,406
Quicken
Loans,
LLC
20,000
3.625%,
3/1/2029
a
19,825
20,000
3.875%,
3/1/2031
a
19,750
Regions
Financial
Corporation
40,000
5.750%,
6/15/2025
b,c
42,700
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
296
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Financials
(15.4%)
-
continued
Royal
Bank
of
Scotland
Group
plc
$
40,000
8.625%,
8/15/2021
b,c
$
41,000
Service
Properties
Trust
40,000
4.750%,
10/1/2026
35,646
Societe
Generale
SA
40,000
8.000%,
9/29/2025
a,b,c
44,650
Springleaf
Finance
Corporation
20,000
6.875%,
3/15/2025
22,194
35,000
7.125%,
3/15/2026
39,102
Standard
Chartered
plc
100,000
7.500%,
4/2/2022
a,b,c
102,266
Starwood
Property
Trust,
Inc.,
Convertible
3,000
4.375%,
4/1/2023
2,876
Truist
Financial
Corporation
90,000
4.950%,
9/1/2025
b,c
94,725
USB
Realty
Corporation
68,000
1.422%,
(LIBOR
3M
+
1.147%),
1/15/2022
a,b,c
55,080
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
10,000
4.250%,
12/1/2026
a
10,047
10,000
3.750%,
2/15/2027
a
9,833
10,000
4.625%,
12/1/2029
a
10,214
10,000
4.125%,
8/15/2030
a
9,850
Wachovia
Capital
Trust
II
30,000
0.775%,
(LIBOR
3M
+
0.500%),
1/15/2027
b
27,311
Total
3,963,227
Technology
(2.6%)
Akamai
Technologies,
Inc.,
Convertible
10,000
0.125%,
5/1/2025
12,859
33,000
0.375%,
9/1/2027
38,178
Black
Knight
InfoServ,
LLC
5,000
3.625%,
9/1/2028
a
5,053
CommScope
Technologies
Finance,
LLC
65,000
6.000%,
6/15/2025
a
65,881
Diamond
Sports
Group,
LLC
15,000
5.375%,
8/15/2026
a
10,612
45,000
6.625%,
8/15/2027
a
23,400
Gartner,
Inc.
20,000
3.750%,
10/1/2030
a
20,231
J2
Global,
Inc.,
Convertible
9,000
1.750%,
11/1/2026
a
7,958
11,000
3.250%,
6/15/2029
12,586
Lumentum
Holdings,
Inc.,
Convertible
10,000
0.250%,
3/15/2024
13,981
Microchip
Technology,
Inc.,
Convertible
13,000
1.625%,
2/15/2027
20,029
NCR
Corporation
60,000
6.125%,
9/1/2029
a
63,397
Nuance
Communications,
Inc.,
Convertible
65,000
1.250%,
4/1/2025
115,134
ON
Semiconductor
Corporation,
Convertible
29,000
1.625%,
10/15/2023
38,298
Open
Text
Corporation
30,000
4.125%,
2/15/2030
a
30,853
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Technology
(2.6%)
-
continued
PTC,
Inc.
$
10,000
3.625%,
2/15/2025
a
$
10,150
Qorvo,
Inc.
20,000
3.375%,
4/1/2031
a
20,343
Sensata
Technologies,
Inc.
40,000
3.750%,
2/15/2031
a
39,750
SS&C
Technologies,
Inc.
30,000
5.500%,
9/30/2027
a
31,882
Switch,
Ltd.
20,000
3.750%,
9/15/2028
a
20,200
Teradyne,
Inc.,
Convertible
7,000
1.250%,
12/15/2023
17,861
Verint
Systems,
Inc.,
Convertible
11,000
1.500%,
6/1/2021
11,110
Vishay
Intertechnology,
Inc.,
Convertible
11,000
2.250%,
6/15/2025
10,645
Xerox
Holdings
Corporation
20,000
5.000%,
8/15/2025
a
19,765
Total
660,156
Transportation
(0.6%)
Air
Transport
Services
Group,
Inc.,
Convertible
4,000
1.125%,
10/15/2024
4,215
American
Airlines,
Inc.
10,000
11.750%,
7/15/2025
a
9,650
Delta
Air
Lines,
Inc.
30,000
7.000%,
5/1/2025
a
32,935
Meritor,
Inc.,
Convertible
21,000
3.250%,
10/15/2037
21,787
Mileage
Plus
Holdings,
LLC
20,000
6.500%,
6/20/2027
a
20,825
Southwest
Airlines
Company,
Convertible
14,000
1.250%,
5/1/2025
18,270
XPO
Logistics,
Inc.
50,000
6.750%,
8/15/2024
a
52,960
Total
160,642
U.S.
Government
&
Agencies
(3.5%)
U.S.
Treasury
Notes
890,000
0.125%,
6/30/2022
889,791
Total
889,791
Utilities
(2.6%)
AES
Corporation
30,000
5.125%,
9/1/2027
31,953
Calpine
Corporation
40,000
4.500%,
2/15/2028
a
40,966
Dominion
Energy,
Inc.
56,000
4.650%,
12/15/2024
b,c
56,749
Duke
Energy
Corporation
51,000
4.875%,
9/16/2024
b,c
53,948
GFL
Environmental,
Inc.
30,000
3.750%,
8/1/2025
a
29,925
NextEra
Energy
Operating
Partners,
LP
65,000
3.875%,
10/15/2026
a
67,275
NiSource,
Inc.
77,000
5.650%,
6/15/2023
b,c
76,422
PG&E
Corporation
30,000
5.250%,
7/1/2030
29,025
Sempra
Energy
40,000
4.875%,
10/15/2025
b,c
41,100
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
297
Principal
Amount
Long-Term
Fixed
Income
(52.8%)
Value
Utilities
(2.6%)
-
continued
Southern
Company
$
40,000
4.000%,
1/15/2051
b
$
40,111
Talen
Energy
Supply,
LLC
30,000
7.625%,
6/1/2028
a
30,000
TerraForm
Power
Operating,
LLC
35,000
5.000%,
1/31/2028
a
38,314
TransCanada
Trust
85,000
5.875%,
8/15/2076
b
90,525
Vistra
Operations
Company,
LLC
50,000
5.000%,
7/31/2027
a
52,513
Total
678,826
Total
Long-Term
Fixed
Income
(cost
$13,466,356)
13,600,284
Shares
Registered
Investment
Companies
(
31.5%
)
Value
Unaffiliated (21.7%)
15,000
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
59,850
8,356
AllianceBernstein
Global
High
Income
Fund,
Inc.
87,822
9,650
AllianzGI
NFJ
Dividend
Interest
&
Premium
Strategy
Fund
113,870
6,123
BlackRock
Core
Bond
Trust
95,886
13,660
BlackRock
Corporate
High
Yield
Fund,
Inc.
145,889
7,868
BlackRock
Credit
Allocation
Income
Trust
111,883
15,650
BlackRock
Enhanced
Equity
Dividend
Trust
114,401
8,880
BlackRock
Enhanced
Global
Dividend
Trust
84,982
7,750
BlackRock
Multi-Sector
Income
Trust
122,295
13,376
BlackRock
Resources
&
Commodities
Strategy
Trust
79,587
35,320
BNY
Mellon
High
Yield
Strategies
Fund
95,717
4,218
Brookfield
Real
Assets
Income
Fund,
Inc.
69,681
5,778
Clough
Global
Opportunities
Fund
53,966
8,435
Cohen
&
Steers
Quality
Income
Realty
Fund,
Inc.
93,713
7,410
Eaton
Vance
Limited
Duration
Income
Fund
83,807
8,100
Eaton
Vance
Senior
Floating-Rate
Trust
94,203
6,528
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
48,046
3,495
GSO
Senior
Floating
Rate
Term
Fund
48,091
8,884
Invesco
Dynamic
Credit
Opportunities
Fund
81,822
26,839
Invesco
Senior
Income
Trust
98,231
3,500
Invesco
Variable
Rate
Preferred
ETF
f
86,170
1,200
iShares
International
Select
f
29,916
2,650
iShares
Mortgage
Real
Estate
Capped
ETF
68,264
840
iShares
Residential
Real
Estate
ETF
51,215
29,100
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
1,060,695
Shares
Registered
Investment
Companies
(31.5%)
Value
Unaffiliated (21.7%)-
continued
7,749
Ivy
High
Income
Opportunities
Fund
$
92,213
500
John
Hancock
Preferred
Income
Fund
III
7,990
22,774
Liberty
All-Star
Equity
Fund
136,872
14,955
Madison
Covered
Call
&
Equity
Strategy
Fund
89,431
9,905
New
America
High
Income
Fund,
Inc.
81,023
14,762
Nuveen
Credit
Strategies
Income
Fund
87,243
6,900
Nuveen
Floating
Rate
Income
Fund
57,339
7,520
Nuveen
Global
High
Income
Fund
101,746
1,000
Nuveen
Quality
Preferred
Income
Fund
II
8,810
10,608
Nuveen
Senior
Income
Fund
51,237
2,633
Nuveen
Short
Duration
Credit
Opportunities
Fund
32,596
8,024
PGIM
Global
High
Yield
Fund,
Inc.
106,318
9,524
PGIM
High
Yield
Bond
Fund,
Inc.
131,526
4,850
Pimco
Dynamic
Credit
And
Mortgage
Income
Fund
97,388
4,428
Pioneer
High
Income
Trust
35,247
6,060
Royce
Micro-Cap
Trust,
Inc.
46,480
5,069
Royce
Value
Trust,
Inc.
64,072
5,184
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
540,536
8,030
Templeton
Global
Income
Fund
42,960
3,831
Tri-Continental
Corporation
99,338
4,881
Voya
Asia
Pacific
High
Dividend
Equity
Income
Fund
38,658
15,329
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
75,879
8,850
Voya
Infrastructure
Industrials
and
Materials
Fund
84,163
24,666
Wells
Fargo
Global
Dividend
Opportunity
Fund
104,337
13,864
Wells
Fargo
Income
Opportunities
Fund
101,207
16,867
Western
Asset
High
Income
Fund
II,
Inc.
107,949
14,923
Western
Asset
High
Income
Opportunity
Fund,
Inc.
73,123
Total
5,575,683
Affiliated (9.8%)
257,148
Thrivent
Core
Emerging
Markets
Debt
Fund
2,525,193
Total
2,525,193
Total
Registered
Investment
Companies
(cost
$8,512,858)
8,100,876
Shares
Common
Stock
(
5.7%
)
Value
Communications
Services
(0.1%)
4
Charter
Communications,
Inc.
g
2,497
467
Twitter,
Inc.
g
20,782
Total
23,279
Consumer
Discretionary
(0.2%)
7
Booking
Holdings,
Inc.
g
11,975
21
Burlington
Stores,
Inc.
g
4,328
497
Callaway
Golf
Company
9,513
213
Dick's
Sporting
Goods,
Inc.
12,328
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
298
Shares
Common
Stock
(5.7%)
Value
Consumer
Discretionary
(0.2%)
-
continued
30
Penn
National
Gaming,
Inc.
g
$
2,181
Total
40,325
Consumer
Staples
(0.1%)
325
Bunge,
Ltd.
14,852
Total
14,852
Energy
(1.1%)
37
Cheniere
Energy,
Inc.
g
1,712
2,070
Enbridge,
Inc.
60,444
3,300
Enterprise
Products
Partners,
LP
52,107
671
EQT
Corporation
8,676
4,100
Kinder
Morgan,
Inc.
50,553
3,700
MPLX,
LP
58,238
111
PDC
Energy,
Inc.
g
1,376
28
Pioneer
Natural
Resources
Company
2,408
3,000
Williams
Companies,
Inc.
58,950
Total
294,464
Financials
(2.2%)
5,636
AG
Mortgage
Investment
Trust,
Inc.
15,555
9,358
Annaly
Capital
Management,
Inc.
66,629
1
Ares
Capital
Corporation
14
105
Blackstone
Mortgage
Trust,
Inc.
2,307
6,100
FS
KKR
Capital
Corporation
96,746
6,600
FS
KKR
Capital
Corporation
II
97,086
8,100
Golub
Capital
BDC,
Inc.
107,244
5,511
Granite
Point
Mortgage
Trust,
Inc.
39,073
234
Hannon
Armstrong
Sustainable
Infrastructure
Capital,
Inc.
9,891
5,700
Sixth
Street
Specialty
Lending,
Inc.
98,097
7,047
Two
Harbors
Investment
Corporation
35,869
Total
568,511
Health
Care
(0.3%)
22
Anthem,
Inc.
5,909
371
Danaher
Corporation
79,887
8
Illumina,
Inc.
g
2,473
Total
88,269
Industrials
(0.2%)
28
Aerojet
Rocketdyne
Holdings,
Inc.
g
1,117
146
Fortive
Corporation
11,127
287
Greenbrier
Companies,
Inc.
8,438
200
Meritor,
Inc.
g
4,188
349
Patrick
Industries,
Inc.
20,074
144
Southwest
Airlines
Company
5,400
73
Stanley
Black
&
Decker,
Inc.
11,840
60
Tutor
Perini
Corporation
g
668
Total
62,852
Information
Technology
(1.0%)
1,073
Advanced
Micro
Devices,
Inc.
g
87,975
34
Akamai
Technologies,
Inc.
g
3,758
130
Broadcom,
Ltd.
47,362
249
II-VI,
Inc.
g
10,099
104
Lumentum
Holdings,
Inc.
g
7,814
158
Microchip
Technology,
Inc.
16,236
830
Micron
Technology,
Inc.
g
38,977
30
Motorola
Solutions,
Inc.
4,704
265
Nuance
Communications,
Inc.
g
8,795
230
ON
Semiconductor
Corporation
g
4,989
1,025
Sabre
Corporation
6,673
Shares
Common
Stock
(5.7%)
Value
Information
Technology
(1.0%)
-
continued
27
ServiceNow,
Inc.
g
$
13,095
87
Teradyne,
Inc.
6,913
Total
257,390
Real
Estate
(0.5%)
5,144
AGNC
Investment
Corporation
71,553
70
iSTAR
Financial,
Inc.
827
246
Lexington
Realty
Trust
2,571
5,694
New
Residential
Investment
Corporation
45,267
Total
120,218
Total
Common
Stock
(cost
$1,715,618)
1,470,160
Shares
Preferred
Stock
(
5.2%
)
Value
Communications
Services
(0.7%)
5,050
AT&T,
Inc.,
4.750%
c,f
128,775
1,450
AT&T,
Inc.,
5.000%
c
38,729
Total
167,504
Consumer
Discretionary
(<0.1%)
32
International
Flavors
&
Fragrances,
Inc.,
Convertible,
6.000%
1,418
Total
1,418
Consumer
Staples
(0.2%)
2,000
CHS,
Inc.,
6.750%
b,c
52,500
Total
52,500
Energy
(0.4%)
10,535
Crestwood
Equity
Partners,
LP,
9.250%
c
62,051
525
Energy
Transfer
Operating,
LP,
7.600%
b,c
9,141
1,415
Nustar
Logistics,
LP,
7.009%
b
27,083
Total
98,275
Financials
(2.8%)
1,050
Aegon
Funding
Corporation
II,
5.100%
26,743
1,500
Allstate
Corporation,
5.100%
c
40,170
1,000
Bank
of
America
Corporation,
5.000%
c
26,240
1,089
Bank
of
America
Corporation,
5.375%
c
29,261
11
Bank
of
America
Corporation,
Convertible,
7.250%
c
16,368
2,050
Capital
One
Financial
Corporation,
5.000%
c
51,414
2,000
Citigroup
Capital
XIII,
6.638%
b
53,960
2,400
Equitable
Holdings,
Inc.,
5.250%
c
61,272
65
First
Horizon
Bank,
3.750%
a,b,c
48,750
1,300
GMAC
Capital
Trust
I,
6.065%
b
32,461
1,450
J.P.
Morgan
Chase
&
Company,
4.750%
c
38,367
1,700
J.P.
Morgan
Chase
&
Company,
5.750%
c
46,427
1,700
Legg
Mason,
Inc.,
5.450%
43,350
2,000
Morgan
Stanley,
5.850%
b,c
54,720
250
Synovus
Financial
Corporation,
5.875%
b,c
6,433
2,500
Truist
Financial
Corporation,
4.750%
c,g
64,875
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
299
Shares
Preferred
Stock
(5.2%)
Value
Financials
(2.8%)
-
continued
52
Wells
Fargo
&
Company,
Convertible,
7.500%
c
$
69,787
Total
710,598
Health
Care
(<0.1%)
8
Danaher
Corporation,
Convertible,
5.000%
10,220
Total
10,220
Industrials
(0.1%)
11
Fortive
Corporation,
Convertible,
5.000%
10,300
230
Stanley
Black
&
Decker,
Inc.,
Convertible,
5.250%
23,207
Total
33,507
Real
Estate
(0.5%)
3,775
Public
Storage,
4.125%
c,g
97,886
800
Public
Storage,
4.625%
c
21,536
200
Public
Storage,
4.700%
c
5,426
325
Public
Storage,
4.875%
c
8,788
Total
133,636
Utilities
(0.5%)
266
NextEra
Energy,
Inc.,
Convertible,
4.872%
14,406
3,200
Southern
Company,
4.950%
84,352
355
Southern
Company,
Convertible,
6.750%
16,522
Total
115,280
Total
Preferred
Stock
(cost
$1,359,495)
1,322,938
Shares
Collateral
Held
for
Securities
Loaned
(
0.9%
)
Value
237,810
Thrivent
Cash
Management
Trust
237,810
Total
Collateral
Held
for
Securities
Loaned
(cost
$237,810)
237,810
Shares
Short-Term
Investments
(
4.2%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
108,217
0.310%
1,082,171
Total
Short-Term
Investments
(cost
$1,082,362)
1,082,171
Total
Investments
(cost
$26,374,499)
100.3%
$25,814,239
Other
Assets
and
Liabilities,
Net
(0.3%)
(66,858)
Total
Net
Assets
100.0%
$25,747,381
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$5,631,214
or
21.9%
of
total
net
assets.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
d
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
e
In
bankruptcy. Interest
is
not
being
accrued.
f
All
or
a
portion
of
the
security
is
on
loan.
g
Non-income
producing
security.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Multidimensional
Income
Portfolio
as
of
September
30,
2020
was
$18,000
or
0.1%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Security
Acquisition
Date
Cost
Windstream
Services,
LLC,
10/31/2025
2/3/2020
$
29,317
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Multidimensional
Income
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
18,018
Common
Stock
213,219
Total
lending
$231,237
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$237,810
Net
amounts
due
to
counterparty
$6,573
Definitions:
ETF
-
Exchange
Traded
Fund
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
300
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Multidimensional
Income
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Long-Term
Fixed
Income
Basic
Materials
446,135
–
446,135
–
Capital
Goods
734,170
–
734,170
–
Collateralized
Mortgage
Obligations
97,136
–
97,136
–
Communications
Services
1,728,805
–
1,728,805
–
Consumer
Cyclical
1,554,406
–
1,554,406
–
Consumer
Non-Cyclical
1,329,241
–
1,329,241
–
Energy
1,357,749
–
1,357,749
–
Financials
3,963,227
–
3,963,227
–
Technology
660,156
–
660,156
–
Transportation
160,642
–
160,642
–
U.S.
Government
&
Agencies
889,791
–
889,791
–
Utilities
678,826
–
678,826
–
Registered
Investment
Companies
Unaffiliated
5,575,683
5,575,683
–
–
Common
Stock
Communications
Services
23,279
23,279
–
–
Consumer
Discretionary
40,325
40,325
–
–
Consumer
Staples
14,852
14,852
–
–
Energy
294,464
294,464
–
–
Financials
568,511
568,511
–
–
Health
Care
88,269
88,269
–
–
Industrials
62,852
62,852
–
–
Information
Technology
257,390
257,390
–
–
Real
Estate
120,218
120,218
–
–
Preferred
Stock
Communications
Services
167,504
167,504
–
–
Consumer
Discretionary
1,418
1,418
–
–
Consumer
Staples
52,500
52,500
–
–
Energy
98,275
98,275
–
–
Financials
710,598
661,848
48,750
–
Health
Care
10,220
10,220
–
–
Industrials
33,507
33,507
–
–
Real
Estate
133,636
133,636
–
–
Utilities
115,280
115,280
–
–
Subtotal
Investments
in
Securities
$21,969,065
$8,320,031
$13,649,034
$–
Other
Investments *
Total
Affiliated
Registered
Investment
Companies
2,525,193
Affiliated
Short-Term
Investments
1,082,171
Collateral
Held
for
Securities
Loaned
237,810
Subtotal
Other
Investments
$3,845,174
Total
Investments
at
Value
$25,814,239
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Multidimensional
Income
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
301
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Multidimensional
Income
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$2,616
$290
$300
$2,525
257
9.8%
Total
Affiliated
Registered
Investment
Companies
2,616
2,525
9.8
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
1,088
13,289
13,294
1,082
108
4.2
Total
Affiliated
Short-Term
Investments
1,088
1,082
4.2
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
160
6,129
6,051
238
238
0.9
Total
Collateral
Held
for
Securities
Loaned
160
238
0.9
Total
Value
$3,864
$3,845
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$(52)
$(29)
–
$84
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(1)
0
–
5
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$89
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
2
Total
Affiliated
Income
from
Securities
Loaned,
Net
$2
Total
Value
$(53)
$(29)
$–
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
302
Principal
Amount
Bank
Loans
(
27.2%
)
a
Value
Basic
Materials
(1.3%)
Ball
Metalpack
Finco,
LLC,
Term
Loan
$
83,087
4.756%,
(LIBOR
3M
+
4.500%),
7/31/2025
b
$
79,681
Chemours
Company,
Term
Loan
366,460
1.900%,
(LIBOR
1M
+
1.750%),
4/3/2025
b
352,718
Hexion,
Inc.,
Term
Loan
308,438
3.800%,
(LIBOR
3M
+
3.500%),
7/1/2026
b
303,041
Innophos
Holdings,
Inc.,
Term
Loan
308,450
3.897%,
(LIBOR
1M
+
3.750%),
2/7/2027
b,c
305,365
Momentive
Performance
Materials
USA,
LLC,
Term
Loan
289,338
3.410%,
(LIBOR
1M
+
3.250%),
5/15/2024
b
276,500
Nouryon
USA,
LLC,
Term
Loan
615,682
3.151%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
595,235
Peabody
Energy
Corporation,
Term
Loan
385,125
2.897%,
(LIBOR
1M
+
2.750%),
3/31/2025
b
149,236
Pixelle
Specialty
Solutions,
LLC,
Term
Loan
604,579
7.500%,
(LIBOR
1M
+
6.500%),
10/31/2024
b
601,556
PQ
Corporation,
Term
Loan
334,163
4.000%,
(LIBOR
3M
+
3.000%),
2/7/2027
b
332,157
Total
2,995,489
Capital
Goods
(3.1%)
Advanced
Disposal
Services,
Inc.,
Term
Loan
550,775
3.000%,
(LIBOR
1W
+
2.250%),
11/10/2023
b
549,398
Asplundh
Tree
Expert,
LLC,
Term
Loan
210,000
0.000%,
(LIBOR
1M
+
2.500%),
9/4/2027
b,d,e
209,607
Flex
Acquisition
Company,
Inc.
Term
Loan
613,770
3.546%,
(LIBOR
3M
+
3.250%),
6/29/2025
b
594,590
GFL
Environmental,
Inc.,
Term
Loan
955,710
4.000%,
(LIBOR
3M
+
3.000%),
5/31/2025
b
950,454
Graham
Packaging
Company,
Inc.,
Term
Loan
300,000
4.500%,
(LIBOR
1M
+
3.750%),
8/4/2027
b
297,876
Mauser
Packaging
Solutions
Holding
Company,
Term
Loan
434,552
3.523%,
(LIBOR
3M
+
3.250%),
4/3/2024
b
407,123
Natgasoline,
LLC,
Term
Loan
368,438
3.813%,
(LIBOR
3M
+
3.500%),
11/14/2025
b,c
350,016
Navistar,
Inc.,
Term
Loan
624,000
3.660%,
(LIBOR
1M
+
3.500%),
11/6/2024
b
617,760
Principal
Amount
Bank
Loans
(27.2%)
a
Value
Capital
Goods
(3.1%)
-
continued
Reynolds
Group
Holdings,
Inc.,
Term
Loan
$
886,519
3.979%,
(LIBOR
1M
+
2.750%),
2/5/2023
b
$
874,666
210,000
0.000%,
(LIBOR
1M
+
3.250%),
2/16/2026
b,d,e
206,010
TransDigm,
Inc.,
Term
Loan
1,091,750
2.397%,
(LIBOR
1M
+
2.250%),
12/9/2025
b
1,030,339
Vertiv
Group
Corporation,
Term
Loan
1,034,800
3.157%,
(LIBOR
1M
+
3.000%),
3/2/2027
b
1,017,208
Total
7,105,047
Communications
Services
(7.4%)
Altice
France
SA,
Term
Loan
256,388
2.897%,
(LIBOR
1M
+
2.750%),
7/31/2025
b
244,194
CenturyLink,
Inc.,
Term
Loan
1,104,293
2.397%,
(LIBOR
1M
+
2.250%),
3/15/2027
b
1,059,139
Charter
Communications
Operating,
LLC,
Term
Loan
1,374,401
1.900%,
(LIBOR
1M
+
1.750%),
4/30/2025
b
1,348,466
CommScope,
Inc.,
Term
Loan
782,100
3.397%,
(LIBOR
1M
+
3.250%),
4/4/2026
b
760,733
Coral-US
Co-Borrower,
LLC,
Term
Loan
1,280,000
2.397%,
(LIBOR
1M
+
2.250%),
1/31/2028
b
1,236,506
CSC
Holdings,
LLC,
Term
Loan
469,237
2.402%,
(LIBOR
1M
+
2.250%),
7/17/2025
b
453,147
1,149,225
2.652%,
(LIBOR
1M
+
2.500%),
4/15/2027
b
1,112,116
Diamond
Sports
Group,
LLC,
Term
Loan
921,471
3.400%,
(LIBOR
1M
+
3.250%),
8/24/2026
b
711,072
Entercom
Media
Corporation,
Term
Loan
462,291
2.645%,
(LIBOR
1M
+
2.500%),
11/17/2024
b
433,976
GCI,
LLC,
Term
Loan
760,000
0.000%,
(LIBOR
1M
+
2.750%),
9/24/2025
b,c,d,e
754,300
Gray
Television,
Inc.,
Term
Loan
280,000
2.405%,
(LIBOR
1M
+
2.250%),
2/7/2024
b
273,650
HCP
Acquisition,
LLC,
Term
Loan
612,321
4.000%,
(LIBOR
1M
+
3.000%),
5/16/2024
b
607,857
iHeartCommunications,
Inc.,
Term
Loan
358,195
3.147%,
(LIBOR
1M
+
3.000%),
5/1/2026
b
339,111
Mediacom
Illinois,
LLC,
Term
Loan
129,022
1.860%,
(LIBOR
1W
+
1.750%),
2/15/2024
b
127,731
NEP
Group,
Inc.,
Term
Loan
614,125
3.397%,
(LIBOR
1M
+
3.250%),
10/20/2025
b
526,458
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
303
Principal
Amount
Bank
Loans
(27.2%)
a
Value
Communications
Services
(7.4%)
-
continued
Nexstar
Broadcasting,
Inc.,
Term
Loan
$
770,000
2.905%,
(LIBOR
1M
+
2.750%),
9/19/2026
b
$
752,036
Nielsen
Finance,
LLC,
Term
Loan
249,375
4.750%,
(LIBOR
1M
+
3.750%),
6/4/2025
b
248,876
Radiate
Holdco,
LLC,
Term
Loan
1,140,000
0.000%,
(LIBOR
1M
+
3.500%),
9/11/2026
b,d,e
1,118,625
SBA
Senior
Finance
II,
LLC,
Term
Loan
549,731
1.900%,
(LIBOR
1M
+
1.750%),
4/11/2025
b
534,801
Terrier
Media
Buyer,
Inc.,
Term
Loan
372,188
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
362,484
199,500
4.397%,
(LIBOR
1M
+
4.250%),
12/17/2026
b
193,764
T-Mobile
USA,
Inc.,
Term
Loan
768,075
3.147%,
(LIBOR
1M
+
3.000%),
4/1/2027
b
766,907
TNS,
Inc.,
Term
Loan
464,656
4.150%,
(LIBOR
1M
+
4.000%),
8/14/2022
b
460,591
Virgin
Media
Bristol,
LLC,
Term
Loan
1,010,000
2.652%,
(LIBOR
1M
+
2.500%),
1/31/2028
b
978,862
WideOpenWest
Finance,
LLC,
Term
Loan
589,623
4.250%,
(LIBOR
1M
+
3.250%),
8/19/2023
b
579,764
Windstream
Services,
LLC,
Term
Loan
183,591
0.000%,
(PRIME
+
5.000%),
3/30/2021
b,f
110,522
Xplornet
Communications,
Inc.,
Term
Loan
394,013
4.897%,
(LIBOR
1M
+
4.750%),
6/11/2027
b
385,888
Ziggo
Financing
Partnership,
Term
Loan
680,000
2.652%,
(LIBOR
1M
+
2.500%),
4/30/2028
b
653,269
Total
17,134,845
Consumer
Cyclical
(3.5%)
1011778
B.C.,
LLC,
Term
Loan
1,086,788
1.897%,
(LIBOR
1M
+
1.750%),
11/19/2026
b
1,040,143
Caesars
Resort
Collection,
LLC,
Term
Loan
640,000
0.000%,
(LIBOR
1M
+
4.500%),
7/20/2025
b,d,e
618,490
Cengage
Learning,
Inc.,
Term
Loan
316,932
5.250%,
(LIBOR
3M
+
4.250%),
6/7/2023
b
264,185
Four
Seasons
Hotels,
Ltd.,
Term
Loan
481,250
2.147%,
(LIBOR
1M
+
2.000%),
11/30/2023
b
467,414
Principal
Amount
Bank
Loans
(27.2%)
a
Value
Consumer
Cyclical
(3.5%)
-
continued
Golden
Entertainment,
Inc.,
Term
Loan
$
825,075
3.750%,
(LIBOR
1M
+
3.000%),
10/20/2024
b
$
788,978
Golden
Nugget,
LLC,
Term
Loan
472,867
3.250%,
(LIBOR
2M
+
2.500%),
10/4/2023
b
420,350
LCPR
Loan
Financing,
LLC,
Term
Loan
965,000
5.152%,
(LIBOR
1M
+
5.000%),
10/15/2026
b
962,993
Michaels
Stores,
Inc.,
Term
Loan
460,000
0.000%,
(LIBOR
1M
+
3.500%),
9/17/2027
b,c,d,e
448,500
Scientific
Games
International,
Inc.,
Term
Loan
1,556,267
3.471%,
(LIBOR
1M
+
2.750%),
8/14/2024
b
1,460,728
Staples,
Inc.,
Term
Loan
169,421
4.751%,
(LIBOR
3M
+
4.500%),
9/12/2024
b
158,973
383,585
5.251%,
(LIBOR
3M
+
5.000%),
4/12/2026
b
355,894
Stars
Group
Holdings
BV,
Term
Loan
453,531
3.720%,
(LIBOR
3M
+
3.500%),
7/10/2025
b
451,989
Tenneco,
Inc.,
Term
Loan
289,837
3.147%,
(LIBOR
1M
+
3.000%),
10/1/2025
b
260,674
Wyndham
Hotels
&
Resorts,
Inc.,
Term
Loan
333,200
1.897%,
(LIBOR
1M
+
1.750%),
5/30/2025
b
320,808
Total
8,020,119
Consumer
Non-Cyclical
(4.9%)
Aramark
Services,
Inc.,
Term
Loan
255,000
1.897%,
(LIBOR
1M
+
1.750%),
3/11/2025
b
243,334
Bausch
Health
Americas,
Inc.,
Term
Loan
952,632
3.151%,
(LIBOR
1M
+
3.000%),
6/1/2025
b
932,589
Bellring
Brands,
LLC,
Term
Loan
180,316
6.000%,
(LIBOR
1M
+
5.000%),
10/21/2024
b
180,392
Change
Healthcare
Holdings,
LLC,
Term
Loan
365,142
3.500%,
(LIBOR
1M
+
2.500%),
3/1/2024
b
356,985
Chobani,
LLC,
Term
Loan
457,870
4.500%,
(LIBOR
1M
+
3.500%),
10/10/2023
b
452,147
Dole
Food
Company,
Inc.,
Term
Loan
613,344
3.750%,
(LIBOR
1M
+
2.750%),
4/6/2024
b,d,e
603,506
Elanco
Animal
Health,
Inc.,
Term
Loan
249,035
1.905%,
(LIBOR
1M
+
1.750%),
8/1/2027
b
241,771
Endo
International
plc,
Term
Loan
489,003
5.000%,
(LIBOR
3M
+
4.250%),
4/27/2024
b
464,552
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
304
Principal
Amount
Bank
Loans
(27.2%)
a
Value
Consumer
Non-Cyclical
(4.9%)
-
continued
Energizer
Holdings,
Inc.,
Term
Loan
$
90,915
2.438%,
(LIBOR
1M
+
2.250%),
12/17/2025
b
$
89,324
Froneri
U.S.,
Inc.,
Term
Loan
220,000
0.000%,
(LIBOR
1M
+
2.250%),
1/31/2027
b,d,e
210,965
Global
Medical
Response,
Inc.,
Term
Loan
1,360,125
4.250%,
(LIBOR
3M
+
3.250%),
4/28/2022
b
1,355,242
165,325
5.250%,
(LIBOR
3M
+
4.250%),
3/14/2025
b
159,815
1,450,000
0.000%,
(LIBOR
1M
+
4.750%),
9/24/2025
b,d,e
1,416,012
Grifols
Worldwide
Operations
USA,
Inc.,
Term
Loan
421,813
2.100%,
(LIBOR
1W
+
2.000%),
11/15/2027
b
412,587
IQVIA,
Inc.,
Term
Loan
174,103
1.897%,
(LIBOR
1M
+
1.750%),
1/1/2025
b
171,528
JBS
USA
LUX
SA,
Term
Loan
747,412
2.147%,
(LIBOR
1M
+
2.000%),
5/1/2026
b
726,111
MPH
Acquisition
Holdings,
LLC,
Term
Loan
1,241,682
3.750%,
(LIBOR
3M
+
2.750%),
6/7/2023
b
1,220,400
Ortho-Clinical
Diagnostics
SA,
Term
Loan
1,143,402
3.406%,
(LIBOR
1M
+
3.250%),
6/30/2025
b
1,092,520
Plantronics,
Inc.,
Term
Loan
366,185
2.647%,
(LIBOR
1M
+
2.500%),
7/2/2025
b
343,144
R.R.
Donnelley
&
Sons
Company,
Term
Loan
78,995
5.147%,
(LIBOR
1M
+
5.000%),
1/15/2024
b
75,243
Sotera
Health
Holdings,
LLC,
Term
Loan
398,000
5.500%,
(LIBOR
3M
+
4.500%),
12/13/2026
b
396,010
US
Foods,
Inc.,
Term
Loan
248,701
1.897%,
(LIBOR
1M
+
1.750%),
6/27/2023
b
238,753
Total
11,382,930
Energy
(0.8%)
BCP
Raptor
II,
LLC,
Term
Loan
153,062
4.897%,
(LIBOR
1M
+
4.750%),
11/3/2025
b
106,634
Buckeye
Partners,
LP,
Term
Loan
522,375
2.897%,
(LIBOR
1M
+
2.750%),
11/1/2026
b,d,e
511,928
Calpine
Corporation,
Term
Loan
479,808
2.400%,
(LIBOR
1M
+
2.250%),
1/15/2024
b
466,273
CONSOL
Energy,
Inc.,
Term
Loan
369,375
4.650%,
(LIBOR
1M
+
4.500%),
9/28/2024
b
294,577
Illuminate
Buyer,
LLC,
Term
Loan
345,000
4.147%,
(LIBOR
1M
+
4.000%),
6/30/2027
b
341,767
Principal
Amount
Bank
Loans
(27.2%)
a
Value
Energy
(0.8%)
-
continued
Lealand
Finance
Company
BV,
Term
Loan
$
129,876
0.000%,
(LIBOR
1M
+
4.000%),
6/30/2025
b
$
96,974
Total
1,818,153
Financials
(2.3%)
Avolon
TLB
Borrower
1
US,
LLC,
Term
Loan
347,238
2.500%,
(LIBOR
1M
+
1.750%),
1/15/2025
b
337,060
Blackstone
CQP
Holdco,
LP,
Term
Loan
306,125
3.725%,
(LIBOR
3M
+
3.500%),
9/30/2024
b
299,161
BPR
Nimbus,
LLC,
Term
Loan
578,623
2.647%,
(LIBOR
1M
+
2.500%),
8/24/2025
b
467,446
Delos
Finance
SARL,
Term
Loan
310,000
1.970%,
(LIBOR
3M
+
1.750%),
10/6/2023
b
302,405
INEOS
U.S.
Finance,
LLC,
Term
Loan
248,721
2.147%,
(LIBOR
1M
+
2.000%),
3/31/2024
b
241,190
Level
3
Financing,
Inc.,
Term
Loan
635,000
1.897%,
(LIBOR
1M
+
1.750%),
3/1/2027
b
614,559
MoneyGram
International,
Inc.,
Term
Loan
344,459
7.000%,
(LIBOR
3M
+
6.000%),
6/30/2023
b
335,417
NCR
Corporation,
Term
Loan
524,700
2.650%,
(LIBOR
1M
+
2.500%),
8/28/2026
b
510,706
Newco
Financing
Partnership,
Term
Loan
517,500
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
501,457
Northriver
Midstream
Finance,
LP,
Term
Loan
509,798
3.546%,
(LIBOR
3M
+
3.250%),
10/1/2025
b
491,873
Tronox
Finance,
LLC,
Term
Loan
649,276
3.177%,
(LIBOR
3M
+
3.000%),
9/22/2024
b
638,148
UPC
Financing
Partnership,
Term
Loan
517,500
0.000%,
(LIBOR
1M
+
3.500%),
1/31/2029
b,d,e
501,458
Vericast
Corporation,
Term
Loan
157,380
5.750%,
(LIBOR
3M
+
4.750%),
11/3/2023
b,d,e
128,246
Total
5,369,126
Technology
(2.4%)
Clear
Channel
Outdoor
Holdings,
Inc.,
Term
Loan
1,104,195
3.761%,
(LIBOR
3M
+
3.500%),
8/21/2026
b,d,e
1,002,333
Prime
Security
Services
Borrower,
LLC,
Term
Loan
1,445,400
4.250%,
(LIBOR
1M
+
3.250%),
9/23/2026
b
1,430,686
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
305
Principal
Amount
Bank
Loans
(27.2%)
a
Value
Technology
(2.4%)
-
continued
Rackspace
Technology
Global,
Inc.,
Term
Loan
$
1,280,313
4.000%,
(LIBOR
3M
+
3.000%),
11/3/2023
b
$
1,254,554
SS&C
Technologies,
Inc.,
Term
Loan
567,238
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
548,332
399,683
1.897%,
(LIBOR
1M
+
1.750%),
4/16/2025
b
386,361
Zayo
Group
Holdings,
Inc.,
Term
Loan
980,075
3.147%,
(LIBOR
1M
+
3.000%),
3/9/2027
b
949,800
Total
5,572,066
Transportation
(0.8%)
Delta
Air
Lines,
Inc.,
Term
Loan
219,450
5.750%,
(LIBOR
3M
+
4.750%),
4/29/2023
b
218,901
Genesee
&
Wyoming,
Inc.,
Term
Loan
616,900
2.220%,
(LIBOR
3M
+
2.000%),
12/30/2026
b
606,203
Mileage
Plus
Holdings,
LLC,
Term
Loan
335,000
6.250%,
(LIBOR
3M
+
5.250%),
6/20/2027
b
340,213
SkyMiles
IP,
Ltd.,
Term
Loan
250,000
0.000%,
(LIBOR
1M
+
3.750%),
10/20/2027
b,d,e
251,652
United
Airlines,
Inc.,
Term
Loan
461,414
1.895%,
(LIBOR
1M
+
1.750%),
4/1/2024
b
434,112
Total
1,851,081
Utilities
(0.7%)
Advanced
Drainage
Systems,
Inc.,
Term
Loan
130,605
2.438%,
(LIBOR
1M
+
2.250%),
9/24/2026
b
130,170
Core
and
Main,
LP,
Term
Loan
408,450
3.750%,
(LIBOR
3M
+
2.750%),
8/1/2024
b
399,387
EnergySolutions,
LLC,
Term
Loan
288,363
4.750%,
(LIBOR
3M
+
3.750%),
5/11/2025
b
274,665
Pacific
Gas
&
Electric
Company,
Term
Loan
768,075
5.500%,
(LIBOR
1M
+
4.500%),
1/1/2022
b
751,431
Total
1,555,653
Total
Bank
Loans
(cost
$64,545,195)
62,804,509
Principal
Amount
Long-Term
Fixed
Income
(
52.2%
)
Value
Asset-Backed
Securities
(4.6%)
522
Funding
CLO,
Ltd.
350,000
4.098%,
(LIBOR
3M
+
3.850%),
10/23/2033,
Ser.
2020-6A,
Class
D
b,e,g
350,000
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Asset-Backed
Securities
(4.6%)
-
continued
Apidos
CLO
XXIV
$
460,000
1.722%,
(LIBOR
3M
+
1.450%),
10/20/2030,
Ser.
2016-24A,
Class
A1BR
b,g
$
453,372
Assurant
CLO
III,
Ltd.
450,000
1.502%,
(LIBOR
3M
+
1.230%),
10/20/2031,
Ser.
2018-3A,
Class
A
b,g
443,176
Babson
CLO,
Ltd.
300,000
3.172%,
(LIBOR
3M
+
2.900%),
7/20/2029,
Ser.
2018-3A,
Class
D
b,g
267,924
Benefit
Street
Partners
CLO
IV,
Ltd.
250,000
2.022%,
(LIBOR
3M
+
1.750%),
1/20/2029,
Ser.
2014-IVA,
Class
A2RR
b,g
248,836
Business
Jet
Securities,
LLC
251,597
4.447%,
6/15/2033,
Ser.
2018-2,
Class
A
g
251,551
Cent
CLO,
LP
875,000
2.545%,
(LIBOR
3M
+
2.300%),
10/25/2028,
Ser.
2018-27A,
Class
B
b,g
855,473
College
Ave
Student
Loans,
LLC
161,804
1.798%,
(LIBOR
1M
+
1.650%),
11/26/2046,
Ser.
2017-A,
Class
A1
b,g
162,299
Education
Funding
Trust
597,015
2.790%,
7/25/2041,
Ser.
2020-A,
Class
A
g
603,333
Foundation
Finance
Trust
103,959
3.300%,
7/15/2033,
Ser.
2017-1A,
Class
A
g
105,710
Freedom
ABS
Trust
309,065
2.520%,
3/18/2027,
Ser.
2020-FP1,
Class
A
g
309,184
Harley
Marine
Financing,
LLC
254,230
5.682%,
5/15/2043,
Ser.
2018-1A,
Class
A2
g
227,908
Madison
Park
Funding
XIV,
Ltd.
425,000
1.658%,
(LIBOR
3M
+
1.400%),
10/22/2030,
Ser.
2014-14A,
Class
A2RR
b,g
416,075
Myers
Park
CLO,
Ltd.
425,000
1.672%,
(LIBOR
3M
+
1.400%),
10/20/2030,
Ser.
2018-1A,
Class
A2
b,g
421,207
OHA
Credit
Funding
1,
Ltd.
360,000
1.722%,
(LIBOR
3M
+
1.450%),
10/20/2030,
Ser.
2018-1A,
Class
A2
b,g
356,379
OZLM
Funding
II,
Ltd.
710,000
1.768%,
(LIBOR
3M
+
1.500%),
7/30/2031,
Ser.
2012-2A,
Class
A1BR
b,g
698,239
OZLM
IX,
Ltd.
550,000
1.822%,
(LIBOR
3M
+
1.550%),
10/20/2031,
Ser.
2014-9A,
Class
A1BR
b,g
545,216
Palmer
Square
Loan
Funding,
Ltd.
250,000
2.522%,
(LIBOR
3M
+
2.250%),
4/20/2027,
Ser.
2019-1A,
Class
B
b,g
250,011
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
306
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Asset-Backed
Securities
(4.6%)
-
continued
Park
Avenue
Institutional
Advisers
CLO,
Ltd.
$
700,000
1.772%,
(LIBOR
3M
+
1.500%),
10/20/2031,
Ser.
2018-1A,
Class
A1B
b,g
$
693,398
Pretium
Mortgage
Credit
Partners,
LLC
726,604
3.721%,
1/25/2059,
Ser.
2019-CFL1,
Class
A1
g,h
725,148
Riserva
CLO,
Ltd.
375,000
1.972%,
(LIBOR
3M
+
1.700%),
10/18/2028,
Ser.
2016-3A,
Class
BR
b,g
371,762
Saxon
Asset
Securities
Trust
51,602
3.639%,
8/25/2035,
Ser.
2004-2,
Class
MF2
b
52,119
Sound
Point
CLO
X,
Ltd.
375,000
2.972%,
(LIBOR
3M
+
2.700%),
1/20/2028,
Ser.
2015-3A,
Class
DR
b,g
358,612
Sound
Point
CLO
XXI,
Ltd.
700,000
1.695%,
(LIBOR
3M
+
1.450%),
10/26/2031,
Ser.
2018-3A,
Class
A1B
b,g
673,233
THL
Credit
Wind
River
CLO,
Ltd.
325,000
3.125%,
(LIBOR
3M
+
2.850%),
7/15/2028,
Ser.
2016-1A,
Class
DR
b,g
306,178
Vericrest
Opportunity
Loan
Transferee
530,609
3.352%,
9/25/2049,
Ser.
2019-NPL5,
Class
A1A
g,h
531,213
Total
10,677,556
Basic
Materials
(0.8%)
Air
Products
and
Chemicals,
Inc.
23,000
1.500%,
10/15/2025
23,854
Alcoa
Nederland
Holding
BV
110,000
5.500%,
12/15/2027
g
114,642
BWAY
Holding
Company
100,000
5.500%,
4/15/2024
g
100,354
Cleveland-Cliffs,
Inc.
70,000
5.750%,
3/1/2025
65,100
60,000
9.875%,
10/17/2025
g
66,975
EI
du
Pont
de
Nemours
&
Company
41,000
1.700%,
7/15/2025
42,516
First
Quantum
Minerals,
Ltd.
120,000
7.500%,
4/1/2025
g
118,693
Freeport-McMoRan,
Inc.
95,000
4.125%,
3/1/2028
96,187
100,000
4.250%,
3/1/2030
102,500
Kinross
Gold
Corporation
38,000
5.125%,
9/1/2021
39,100
Krayton
Polymers,
LLC
110,000
7.000%,
4/15/2025
g
112,200
Methanex
Corporation
140,000
5.250%,
12/15/2029
138,425
Mosaic
Company
19,000
3.250%,
11/15/2022
19,856
Norbord,
Inc.
165,000
5.750%,
7/15/2027
g
174,289
Novelis
Corporation
170,000
5.875%,
9/30/2026
g
174,675
40,000
4.750%,
1/30/2030
g
39,039
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Basic
Materials
(0.8%)
-
continued
Nucor
Corporation
$
20,000
2.000%,
6/1/2025
$
20,885
Olin
Corporation
150,000
5.125%,
9/15/2027
148,500
Peabody
Securities
Finance
Corporation
130,000
6.375%,
3/31/2025
g
52,000
Steel
Dynamics,
Inc.
25,000
2.400%,
6/15/2025
26,079
Syngenta
Finance
NV
75,000
3.933%,
4/23/2021
g
75,967
Tronox
Finance
plc
130,000
5.750%,
10/1/2025
g
128,050
Xstrata
Finance
Canada,
Ltd.
57,000
4.950%,
11/15/2021
g
59,502
Total
1,939,388
Capital
Goods
(1.6%)
AECOM
260,000
5.125%,
3/15/2027
280,831
Amsted
Industries,
Inc.
150,000
5.625%,
7/1/2027
g
159,573
Ardagh
Packaging
Finance
plc
60,000
6.000%,
2/15/2025
g
62,298
110,000
5.250%,
8/15/2027
g
112,090
Berry
Global,
Inc.
90,000
4.875%,
7/15/2026
g
94,387
Caterpillar
Financial
Services
Corporation
55,000
1.900%,
9/6/2022
56,550
60,000
1.950%,
11/18/2022
61,966
41,000
1.450%,
5/15/2025
42,345
Cintas
Corporation
No.
2
57,000
2.900%,
4/1/2022
58,959
CNH
Industrial
Capital,
LLC
60,000
4.875%,
4/1/2021
61,158
25,000
1.950%,
7/2/2023
25,406
Covanta
Holding
Corporation
120,000
6.000%,
1/1/2027
124,800
25,000
5.000%,
9/1/2030
25,233
Crown
Americas
Capital
Corporation
IV
70,000
4.500%,
1/15/2023
72,625
Crown
Cork
&
Seal
Company,
Inc.
170,000
7.375%,
12/15/2026
202,110
General
Electric
Company
133,000
5.000%,
1/21/2021
b,i
105,970
H&E
Equipment
Services,
Inc.
150,000
5.625%,
9/1/2025
156,375
Honeywell
International,
Inc.
41,000
1.350%,
6/1/2025
42,251
Huntington
Ingalls
Industries,
Inc.
44,000
3.844%,
5/1/2025
g
48,337
Jeld-Wen,
Inc.
90,000
4.625%,
12/15/2025
g
90,450
John
Deere
Capital
Corporation
64,000
1.200%,
4/6/2023
65,251
60,000
2.050%,
1/9/2025
63,576
L3Harris
Technologies,
Inc.
75,000
4.950%,
2/15/2021
75,409
Otis
Worldwide
Corporation
61,000
2.056%,
4/5/2025
64,072
PACCAR
Financial
Corporation
44,000
2.650%,
4/6/2023
46,381
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
307
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Capital
Goods
(1.6%)
-
continued
Parker-Hannifin
Corporation
$
71,000
2.700%,
6/14/2024
$
76,002
Raytheon
Technologies
Corporation
42,000
2.800%,
3/15/2022
g
43,301
Republic
Services,
Inc.
34,000
2.500%,
8/15/2024
36,184
Reynolds
Group
Issuer,
Inc.
240,000
5.125%,
7/15/2023
g
243,000
Roper
Technologies,
Inc.
39,000
2.350%,
9/15/2024
41,242
41,000
1.000%,
9/15/2025
41,103
Standard
Industries,
Inc.
190,000
4.375%,
7/15/2030
g
194,800
TransDigm,
Inc.
70,000
6.250%,
3/15/2026
g
73,399
200,000
5.500%,
11/15/2027
192,210
United
Rentals
North
America,
Inc.
270,000
4.000%,
7/15/2030
276,075
United
Technologies
Corporation
80,000
3.950%,
8/16/2025
90,945
WESCO
Distribution,
Inc.
90,000
7.250%,
6/15/2028
g
98,611
WW
Grainger,
Inc.
41,000
1.850%,
2/15/2025
42,937
Total
3,648,212
Collateralized
Mortgage
Obligations
(9.5%)
Antler
Mortgage
Trust
332,354
4.458%,
6/27/2022,
Ser.
2019-RTL1,
Class
A1
g
333,256
623,145
4.335%,
7/25/2022,
Ser.
2018-RTL1,
Class
A1
g
624,464
Banc
of
America
Alternative
Loan
Trust
175,228
6.000%,
11/25/2035,
Ser.
2005-10,
Class
3CB1
167,414
Banc
of
America
Funding
Trust
271,781
5.500%,
1/25/2036,
Ser.
2005-8,
Class
1A1
262,105
Banc
of
America
Mortgage
Securities
Trust
237,709
3.373%,
9/25/2035,
Ser.
2005-H,
Class
3A1
b
222,533
Bear
Stearns
Adjustable
Rate
Mortgage
Trust
136,554
3.564%,
1/25/2034,
Ser.
2003-8,
Class
5A
b
131,379
46,702
2.410%,
(CMT
1Y
+
2.300%),
10/25/2035,
Ser.
2005-9,
Class
A1
b
46,875
Bellemeade
Re,
Ltd.
317,360
1.748%,
(LIBOR
1M
+
1.600%),
4/25/2028,
Ser.
2018-1A,
Class
M1B
b,g
314,237
225,000
2.798%,
(LIBOR
1M
+
2.650%),
6/25/2030,
Ser.
2020-1A,
Class
M1A
b,g
225,463
300,000
3.548%,
(LIBOR
1M
+
3.400%),
6/25/2030,
Ser.
2020-1A,
Class
M1B
b,g
304,090
300,000
2.448%,
(LIBOR
1M
+
2.300%),
8/26/2030,
Ser.
2020-2A,
Class
M1A
b,g
300,350
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Collateralized
Mortgage
Obligations
(9.5%)
-
continued
Cascade
Funding
Mortgage
Trust
$
150,811
4.580%,
6/25/2048,
Ser.
2018-RM1,
Class
A1
g
$
151,318
ChaseFlex
Trust
216,912
6.500%,
2/25/2035,
Ser.
2005-1,
Class
1A5
208,361
CHL
Mortgage
Pass-Through
Trust
213,663
3.400%,
11/20/2035,
Ser.
2005-HYB7,
Class
6A1
b
181,327
126,623
3.454%,
12/20/2035,
Ser.
2005-HYB8,
Class
3A1
b
125,369
100,004
6.000%,
4/25/2037,
Ser.
2007-3,
Class
A18
76,089
CIM
Trust
192,527
5.000%,
12/25/2057,
Ser.
2018-R3,
Class
A1
b,g
202,934
Citigroup
Mortgage
Loan
Trust,
Inc.
412,191
3.958%,
4/25/2037,
Ser.
2007-AR5,
Class
1A1A
b
399,222
Countrywide
Alternative
Loan
Trust
130,233
5.000%,
3/25/2035,
Ser.
2005-3CB,
Class
1A1
129,315
181,382
5.500%,
5/25/2035,
Ser.
2005-J3,
Class
1A5
168,045
74,611
5.500%,
10/25/2035,
Ser.
2005-46CB,
Class
A8
70,440
26,574
5.500%,
2/25/2036,
Ser.
2005-85CB,
Class
2A2
25,770
Countrywide
Home
Loan
Mortgage
Pass
Through
Trust
118,806
3.457%,
11/25/2035,
Ser.
2005-22,
Class
2A1
b
110,039
Credit
Suisse
Mortgage
Capital
Certificates
164,467
3.393%,
2/25/2024,
Ser.
2020-BPL1,
Class
A1
g,h
164,537
Deutsche
Alt-A
Securities,
Inc.,
Mortgage
Loan
Trust
170,011
5.250%,
6/25/2035,
Ser.
2005-3,
Class
4A6
174,504
Eagle
Re,
Ltd.
451,174
1.948%,
(LIBOR
1M
+
1.800%),
4/25/2029,
Ser.
2019-1,
Class
M1B
b,g
448,200
Federal
Home
Loan
Mortgage
Corporation
719,789
3.500%,
8/15/2035,
Ser.
345,
Class
C8
j
77,777
Federal
Home
Loan
Mortgage
Corporation
-
REMIC
647,337
3.000%,
5/15/2027,
Ser.
4046,
Class
GI
j
36,732
519,259
3.000%,
7/15/2027,
Ser.
4084,
Class
NI
j
33,265
715,340
3.500%,
10/15/2032,
Ser.
4119,
Class
KI
j
87,077
800,745
3.000%,
4/15/2033,
Ser.
4203,
Class
DI
j
59,897
Federal
National
Mortgage
Association
-
REMIC
468,227
3.000%,
7/25/2027,
Ser.
2012-73,
Class
DI
j
26,149
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
308
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Collateralized
Mortgage
Obligations
(9.5%)
-
continued
$
739,197
3.000%,
7/25/2027,
Ser.
2012-74,
Class
AI
j
$
37,127
1,108,996
3.000%,
8/25/2027,
Ser.
2012-95,
Class
HI
j
54,881
1,619,495
3.000%,
11/25/2027,
Ser.
2012-121,
Class
BI
j
102,733
959,243
3.000%,
12/25/2027,
Ser.
2012-139,
Class
DI
j
51,573
415,757
2.500%,
1/25/2028,
Ser.
2012-152,
Class
AI
j
22,543
1,249,796
3.000%,
1/25/2028,
Ser.
2012-147,
Class
EI
j
68,782
1,917,268
3.000%,
3/25/2028,
Ser.
2013-18,
Class
IL
j
106,677
756,069
2.500%,
6/25/2028,
Ser.
2013-87,
Class
IW
j
43,414
898,192
3.000%,
11/25/2031,
Ser.
2013-69,
Class
IO
j
44,194
507,683
3.000%,
2/25/2033,
Ser.
2013-1,
Class
YI
j
55,032
First
Horizon
Alternative
Mortgage
Securities
Trust
71,497
3.202%,
7/25/2035,
Ser.
2005-AA5,
Class
2A1
b
69,987
FWD
Securitization
Trust
380,044
2.810%,
6/25/2049,
Ser.
2019-INV1,
Class
A1
b,g
388,853
Genworth
Mortgage
Insurance
Corporation
250,000
2.048%,
(LIBOR
1M
+
1.900%),
11/26/2029,
Ser.
2019-1,
Class
M1
b,g
244,848
GMAC
Mortgage
Corporation
Loan
Trust
77,228
3.668%,
5/25/2035,
Ser.
2005-AR2,
Class
4A
b
73,804
26,543
0.648%,
(LIBOR
1M
+
0.500%),
8/25/2035,
Ser.
2005-HE1,
Class
A2
b,k
29,580
11,738
3.524%,
9/19/2035,
Ser.
2005-AR5,
Class
5A1
b
10,539
GSAA
Home
Equity
Trust
76,740
4.539%,
8/25/2034,
Ser.
2004-10,
Class
M2
h
82,066
Home
Equity
Asset
Trust
372,266
1.468%,
(LIBOR
1M
+
1.320%),
8/25/2033,
Ser.
2003-2,
Class
M1
b
370,144
IndyMac
INDA
Mortgage
Loan
Trust
794,238
3.127%,
8/25/2036,
Ser.
2006-AR1,
Class
A1
b
740,466
IndyMac
INDX
Mortgage
Loan
Trust
702,303
0.358%,
(LIBOR
1M
+
0.210%),
4/25/2046,
Ser.
2006-AR2,
Class
1A1B
b
636,089
J.P.
Morgan
Alternative
Loan
Trust
82,217
6.500%,
3/25/2036,
Ser.
2006-S1,
Class
1A19
66,741
J.P.
Morgan
Mortgage
Trust
63,411
6.500%,
1/25/2035,
Ser.
2005-S1,
Class
1A2
72,202
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Collateralized
Mortgage
Obligations
(9.5%)
-
continued
$
77,535
3.499%,
7/25/2035,
Ser.
2007-A1,
Class
2A1
b
$
76,665
82,744
3.447%,
6/25/2036,
Ser.
2006-A4,
Class
2A2
b
70,115
Legacy
Mortgage
Asset
Trust
427,246
4.000%,
1/25/2059,
Ser.
2019-GS1,
Class
A1
g
434,649
484,094
3.250%,
2/25/2060,
Ser.
2020-GS4,
Class
A1
g,h
491,044
Long
Beach
Mortgage
Loan
Trust
303,964
1.648%,
(LIBOR
1M
+
1.500%),
9/25/2034,
Ser.
2004-5,
Class
M3
b
300,605
Master
Asset
Securitization
Trust
389,732
0.648%,
(LIBOR
1M
+
0.500%),
6/25/2036,
Ser.
2006-2,
Class
2A2
b
97,237
MASTR
Alternative
Loans
Trust
60,191
5.000%,
3/25/2055,
Ser.
2004-10,
Class
3A1
61,666
Merrill
Lynch
Alternative
Note
Asset
Trust
96,866
6.000%,
3/25/2037,
Ser.
2007-F1,
Class
2A1
64,378
Merrill
Lynch
Mortgage
Investors
Trust
200,361
3.536%,
6/25/2035,
Ser.
2005-A5,
Class
M1
b
109,066
MFA
NQM1
Trust
290,618
2.300%,
8/25/2049,
Ser.
2020-NQM1,
Class
A3
b,g
292,061
New
Residential
Mortgage
Loan
Trust
169,670
4.335%,
7/25/2060,
Ser.
2020-NPL1,
Class
A1
g,h
169,873
Oaktown
Re
II,
Ltd.
51,638
1.698%,
(LIBOR
1M
+
1.550%),
7/25/2028,
Ser.
2018-1A,
Class
M1
b,g
51,485
Oaktown
Re
III,
Ltd.
35,286
1.548%,
(LIBOR
1M
+
1.400%),
7/25/2029,
Ser.
2019-1A,
Class
M1A
b,g
35,271
Preston
Ridge
Partners
Mortgage
Trust,
LLC
99,507
4.500%,
1/25/2024,
Ser.
2019-1A,
Class
A1
g,h
100,270
346,599
3.967%,
4/25/2024,
Ser.
2019-2A,
Class
A1
g,h
349,490
519,766
3.500%,
10/25/2024,
Ser.
2019-GS1,
Class
A1
b,g
520,439
368,167
4.750%,
10/25/2024,
Ser.
2019-GS1,
Class
A2
b,g
366,700
179,309
3.351%,
11/25/2024,
Ser.
2019-4A,
Class
A1
g,h
179,749
245,959
3.671%,
8/25/2025,
Ser.
2020-2,
Class
A1
g,h
245,978
Pretium
Mortgage
Credit
Partners,
LLC
349,402
2.858%,
5/27/2059,
Ser.
2020-NPL1,
Class
A1
g,h
346,724
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
309
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Collateralized
Mortgage
Obligations
(9.5%)
-
continued
Radnor
RE,
Ltd.
$
37,290
1.548%,
(LIBOR
1M
+
1.400%),
3/25/2028,
Ser.
2018-1,
Class
M1
b,g
$
37,221
RCO
Mortgage,
LLC
279,621
3.475%,
11/25/2024,
Ser.
2019-2,
Class
A1
g,h
278,976
198,911
3.197%,
11/25/2052,
Ser.
2017-INV1,
Class
A
b,g
201,634
Renaissance
Home
Equity
Loan
Trust
222,910
5.797%,
8/25/2036,
Ser.
2006-2,
Class
AF3
h
129,081
Residential
Accredit
Loans,
Inc.
Trust
235,191
6.000%,
8/25/2035,
Ser.
2005-QS10,
Class
2A
235,409
87,813
6.000%,
1/25/2037,
Ser.
2007-QS1,
Class
1A1
85,328
169,996
5.750%,
4/25/2037,
Ser.
2007-QS6,
Class
A28
162,004
Residential
Asset
Securitization
Trust
440,515
5.500%,
4/25/2035,
Ser.
2005-A1,
Class
A3
460,526
Silver
Hill
Trust
352,605
3.102%,
11/25/2049,
Ser.
2019-SBC1,
Class
A1
b,g
358,351
Stanwich
Mortgage
Loan
Trust
208,886
3.475%,
11/16/2024,
Ser.
2019-NPB2,
Class
A1
g,h
207,233
Starwood
Mortgage
Residential
Trust
234,747
4.121%,
10/25/2048,
Ser.
2018-IMC2,
Class
A1
b,g
242,811
400,000
3.970%,
4/25/2060,
Ser.
2020-2,
Class
A2
b,g
413,924
Structured
Asset
Mortgage
Investments,
Inc.
149,230
0.458%,
(LIBOR
1M
+
0.310%),
12/25/2035,
Ser.
2005-AR4,
Class
A1
b
138,611
Toorak
Mortgage
Corporation
502,322
4.336%,
8/25/2021,
Ser.
2018-1,
Class
A1
g,h
505,143
450,000
4.458%,
3/25/2022,
Ser.
2019-1,
Class
A1
g,h
460,421
450,000
2.734%,
3/25/2023,
Ser.
2020-1,
Class
A1
g,h
451,582
Vericrest
Opportunity
Loan
Transferee
231,393
2.981%,
3/25/2050,
Ser.
2020-NPL4,
Class
A1
g,h
230,906
400,000
3.475%,
3/25/2050,
Ser.
2020-NPL5,
Class
A1B
g,h
389,384
225,356
3.352%,
8/25/2049,
Ser.
2019-NPL4,
Class
A1A
g,h
225,580
1,200,000
4.090%,
11/25/2049,
Ser.
2019-NPL8,
Class
A1B
g,h
1,182,659
700,000
4.090%,
11/26/2049,
Ser.
2019-NPL9,
Class
A1B
g,h
693,190
93,673
3.426%,
12/27/2049,
Ser.
2019-NP10,
Class
A1A
g,h
93,708
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Collateralized
Mortgage
Obligations
(9.5%)
-
continued
Verus
Securitization
Trust
$
338,936
3.345%,
5/25/2059,
Ser.
2019-2,
Class
A2
b,g
$
345,522
Wachovia
Asset
Securitization,
Inc.
149,295
0.312%,
(LIBOR
1M
+
0.140%),
7/25/2037,
Ser.
2007-HE1,
Class
A
b,g,k
129,434
WaMu
Mortgage
Pass
Through
Certificates
122,431
3.671%,
10/25/2036,
Ser.
2006-AR12,
Class
1A1
b
118,248
295,421
2.051%,
(12
MTA
+
0.880%),
10/25/2046,
Ser.
2006-AR13,
Class
1A
b
265,365
Washington
Mutual
Mortgage
Pass-Through
Certificates
110,637
6.000%,
3/25/2035,
Ser.
2005-1,
Class
2A
110,488
Wells
Fargo
Home
Equity
Trust
109,266
0.648%,
(LIBOR
1M
+
0.500%),
4/25/2034,
Ser.
2004-1,
Class
M1
b
105,768
Total
21,882,780
Commercial
Mortgage-Backed
Securities
(0.5%)
BFLD
Trust
325,000
1.800%,
(LIBOR
1M
+
1.700%),
10/15/2022,
Ser.
2020-EYP,
Class
B
b,e,g
325,000
Federal
National
Mortgage
Association
-
ACES
6,962,329
1.466%,
2/25/2031,
Ser.
2019-M21,
Class
X2
b,j
739,629
Total
1,064,629
Communications
Services
(2.8%)
Altice
France
SA
80,000
5.500%,
1/15/2028
g
81,000
American
Tower
Corporation
60,000
3.375%,
5/15/2024
64,954
42,000
2.950%,
1/15/2025
45,365
AT&T,
Inc.
144,000
4.450%,
4/1/2024
161,012
CCO
Holdings,
LLC
155,000
5.500%,
5/1/2026
g
161,587
110,000
5.125%,
5/1/2027
g
115,744
170,000
4.500%,
8/15/2030
g
178,508
80,000
4.250%,
2/1/2031
g
82,872
CCOH
Safari,
LLC
185,000
5.750%,
2/15/2026
g
192,400
Charter
Communications
Operating,
LLC
60,000
4.500%,
2/1/2024
66,519
34,000
4.908%,
7/23/2025
39,300
Comcast
Corporation
39,000
3.700%,
4/15/2024
43,065
39,000
3.950%,
10/15/2025
44,724
Cox
Communications,
Inc.
54,000
2.950%,
6/30/2023
g
56,838
Crown
Castle
International
Corporation
40,000
4.450%,
2/15/2026
45,818
CSC
Holdings,
LLC
170,000
5.500%,
5/15/2026
g
176,800
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
310
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Communications
Services
(2.8%)
-
continued
$
80,000
4.125%,
12/1/2030
g
$
81,540
200,000
4.625%,
12/1/2030
g
200,946
Deutsche
Telekom
International
Finance
BV
34,000
2.485%,
9/19/2023
g
35,549
Discovery
Communications,
LLC
40,000
2.950%,
3/20/2023
42,136
Embarq
Corporation
120,000
7.995%,
6/1/2036
142,087
Entercom
Media
Corporation
70,000
6.500%,
5/1/2027
g
60,900
Fox
Corporation
73,000
4.030%,
1/25/2024
80,356
Front
Range
BidCo,
Inc.
170,000
4.000%,
3/1/2027
g
167,318
GCI,
LLC
80,000
4.750%,
10/15/2028
e,g
81,001
Gray
Escrow,
Inc.
125,000
7.000%,
5/15/2027
g
135,517
iHeartCommunications,
Inc.
80,000
4.750%,
1/15/2028
g
75,396
Level
3
Financing,
Inc.
140,000
5.250%,
3/15/2026
145,033
95,000
4.625%,
9/15/2027
g
97,612
140,000
4.250%,
7/1/2028
g
142,145
Netflix,
Inc.
275,000
4.875%,
4/15/2028
307,312
Nexstar
Escrow
Corporation
140,000
5.625%,
7/15/2027
g
146,853
Nielsen
Finance,
LLC
30,000
5.625%,
10/1/2028
g
30,825
SBA
Communications
Corporation
80,000
3.875%,
2/15/2027
g
81,200
SFR
Group
SA
180,000
7.375%,
5/1/2026
g
188,622
Sirius
XM
Radio,
Inc.
220,000
5.000%,
8/1/2027
g
229,805
140,000
4.125%,
7/1/2030
g
143,471
Sprint
Capital
Corporation
110,000
6.875%,
11/15/2028
136,987
60,000
8.750%,
3/15/2032
87,829
Sprint
Corporation
160,000
7.250%,
9/15/2021
167,400
255,000
7.625%,
2/15/2025
298,350
Telesat
Canada
/
Telesat,
LLC
100,000
4.875%,
6/1/2027
g
100,405
T-Mobile
USA,
Inc.
72,000
3.500%,
4/15/2025
g
79,000
280,000
4.500%,
2/1/2026
288,512
Univision
Communications,
Inc.
150,000
6.625%,
6/1/2027
g
146,438
VeriSign,
Inc.
150,000
4.750%,
7/15/2027
159,000
Verizon
Communications,
Inc.
86,000
2.946%,
3/15/2022
89,155
84,000
1.380%,
(LIBOR
3M
+
1.100%),
5/15/2025
b
85,811
Viacom,
Inc.
58,000
4.250%,
9/1/2023
63,180
38,000
5.875%,
2/28/2057
b
38,668
Virgin
Media
Secured
Finance
plc
200,000
5.500%,
8/15/2026
g
208,500
Vodafone
Group
plc
51,000
3.750%,
1/16/2024
55,698
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Communications
Services
(2.8%)
-
continued
VTR
Finance
BV
$
50,000
6.375%,
N/A
g
$
52,500
Walt
Disney
Company
41,000
1.750%,
1/13/2026
42,595
Windstream
Services,
LLC
110,000
8.625%,
10/31/2025
*,f
66,000
Ziggo
BV
150,000
5.500%,
1/15/2027
g
157,125
Total
6,495,283
Consumer
Cyclical
(2.9%)
1011778
B.C.,
ULC
230,000
4.375%,
1/15/2028
g
234,554
Allied
Universal
Holdco,
LLC
90,000
6.625%,
7/15/2026
g
95,850
Allison
Transmission,
Inc.
185,000
5.000%,
10/1/2024
g
186,861
Amazon.com,
Inc.
41,000
0.800%,
6/3/2025
41,365
American
Honda
Finance
Corporation
55,000
2.050%,
1/10/2023
56,850
41,000
0.650%,
9/8/2023
40,986
41,000
1.200%,
7/8/2025
41,298
BMW
Finance
NV
40,000
2.250%,
8/12/2022
g
41,291
Brookfield
Property
REIT,
Inc.
50,000
5.750%,
5/15/2026
g
39,403
Brookfield
Residential
Properties,
Inc.
235,000
6.250%,
9/15/2027
g
236,980
Carnival
Corporation
60,000
11.500%,
4/1/2023
g
67,259
60,000
10.500%,
2/1/2026
g
66,450
Cedar
Fair,
LP
90,000
5.250%,
7/15/2029
85,444
Colt
Merger
Sub,
Inc.
170,000
6.250%,
7/1/2025
g
177,225
D.R.
Horton,
Inc.
62,000
2.550%,
12/1/2020
62,210
21,000
2.600%,
10/15/2025
22,516
Daimler
Finance
North
America,
LLC
39,000
2.550%,
8/15/2022
g
40,285
Dana,
Inc.
100,000
5.625%,
6/15/2028
103,250
Ford
Motor
Company
50,000
9.000%,
4/22/2025
57,325
30,000
9.625%,
4/22/2030
38,737
120,000
7.450%,
7/16/2031
137,617
Ford
Motor
Credit
Company,
LLC
270,000
4.063%,
11/1/2024
269,662
140,000
4.134%,
8/4/2025
138,658
General
Motors
Company
68,000
5.400%,
10/2/2023
74,957
General
Motors
Financial
Company,
Inc.
57,000
4.375%,
9/25/2021
58,804
37,000
4.200%,
11/6/2021
38,203
38,000
3.150%,
6/30/2022
39,033
80,000
3.950%,
4/13/2024
84,632
60,000
2.900%,
2/26/2025
61,815
41,000
2.750%,
6/20/2025
41,997
44,000
5.700%,
9/30/2030
b,i
44,165
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
311
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Consumer
Cyclical
(2.9%)
-
continued
Hanesbrands,
Inc.
$
170,000
4.875%,
5/15/2026
g
$
181,475
Harley-Davidson
Financial
Services,
Inc.
64,000
4.050%,
2/4/2022
g
66,138
Herc
Holdings,
Inc.
60,000
5.500%,
7/15/2027
g
62,079
Hilton
Domestic
Operating
Company,
Inc.
20,000
5.125%,
5/1/2026
20,525
230,000
4.875%,
1/15/2030
236,900
Home
Depot,
Inc.
44,000
3.750%,
2/15/2024
48,537
Hyundai
Capital
America
51,000
3.000%,
6/20/2022
g
52,579
41,000
1.800%,
10/15/2025
g
40,774
International
Game
Technology
plc
110,000
5.250%,
1/15/2029
g
111,237
KB
Home
100,000
4.800%,
11/15/2029
110,250
Kohl's
Corporation
53,000
9.500%,
5/15/2025
62,531
L
Brands,
Inc.
70,000
6.625%,
10/1/2030
g
71,225
Landry's,
Inc.
90,000
6.750%,
10/15/2024
g
75,150
Lennar
Corporation
57,000
2.950%,
11/29/2020
57,000
22,000
4.125%,
1/15/2022
22,495
60,000
4.875%,
12/15/2023
64,507
270,000
4.500%,
4/30/2024
289,575
20,000
5.875%,
11/15/2024
22,350
Lowe's
Companies,
Inc.
44,000
4.000%,
4/15/2025
49,867
Marriott
International,
Inc.
81,000
3.750%,
10/1/2025
83,176
Mattamy
Group
Corporation
195,000
5.250%,
12/15/2027
g
200,363
McDonald's
Corporation
72,000
3.350%,
4/1/2023
76,868
MGM
Resorts
International
40,000
6.000%,
3/15/2023
41,496
145,000
5.750%,
6/15/2025
152,076
Nissan
Motor
Company,
Ltd.
41,000
3.043%,
9/15/2023
g
41,559
Norwegian
Cruise
Line
Holdings,
Ltd.
60,000
10.250%,
2/1/2026
g
62,513
Prime
Security
Services
Borrower,
LLC
240,000
5.750%,
4/15/2026
g
256,651
40,000
3.375%,
8/31/2027
g
38,450
Ralph
Lauren
Corporation
41,000
1.700%,
6/15/2022
41,735
Royal
Caribbean
Cruises,
Ltd.
60,000
9.125%,
6/15/2023
g
63,600
40,000
11.500%,
6/1/2025
g
46,490
Scientific
Games
International,
Inc.
110,000
5.000%,
10/15/2025
g
110,688
ServiceMaster
Company,
LLC
200,000
5.125%,
11/15/2024
g
204,500
Six
Flags
Entertainment
Corporation
70,000
5.500%,
4/15/2027
g,l
66,381
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Consumer
Cyclical
(2.9%)
-
continued
Six
Flags
Theme
Parks,
Inc.
$
50,000
7.000%,
7/1/2025
g
$
53,188
Staples,
Inc.
120,000
7.500%,
4/15/2026
g
110,575
Target
Corporation
44,000
2.250%,
4/15/2025
46,975
TJX
Companies,
Inc.
44,000
3.500%,
4/15/2025
49,070
VF
Corporation
46,000
2.050%,
4/23/2022
47,156
Volkswagen
Group
of
America
Finance,
LLC
63,000
4.250%,
11/13/2023
g
69,218
21,000
3.350%,
5/13/2025
g
22,926
Wyndham
Destinations,
Inc.
70,000
6.625%,
7/31/2026
g
73,333
Wyndham
Hotels
&
Resorts,
Inc.
40,000
4.375%,
8/15/2028
g
38,800
Yum!
Brands,
Inc.
200,000
4.750%,
1/15/2030
g
215,500
Total
6,584,163
Consumer
Non-Cyclical
(3.4%)
Abbott
Laboratories
76,000
2.550%,
3/15/2022
78,463
40,000
3.400%,
11/30/2023
43,458
AbbVie,
Inc.
38,000
2.900%,
11/6/2022
39,843
81,000
2.300%,
11/21/2022
g
83,818
34,000
2.800%,
3/15/2023
g
35,539
168,000
3.600%,
5/14/2025
186,169
Albertson's
Companies,
Inc.
170,000
3.500%,
3/15/2029
g
165,006
50,000
4.875%,
2/15/2030
g
52,125
Altria
Group,
Inc.
62,000
3.800%,
2/14/2024
67,758
36,000
4.400%,
2/14/2026
41,447
Amgen,
Inc.
61,000
1.900%,
2/21/2025
63,783
Anheuser-Busch
Companies,
LLC
36,000
3.650%,
2/1/2026
40,234
Anheuser-Busch
InBev
Worldwide,
Inc.
59,000
4.150%,
1/23/2025
66,612
Anthem,
Inc.
64,000
2.375%,
1/15/2025
67,988
Aramark
Services,
Inc.
50,000
6.375%,
5/1/2025
g
52,084
AstraZeneca
plc
40,000
0.700%,
4/8/2026
39,222
BAT
Capital
Corporation
41,000
2.764%,
8/15/2022
42,488
59,000
3.222%,
8/15/2024
63,132
BAT
International
Finance
plc
41,000
1.668%,
3/25/2026
41,129
Bausch
Health
Companies,
Inc.
100,000
7.000%,
1/15/2028
g
105,750
30,000
5.000%,
1/30/2028
g
29,138
Bayer
U.S.
Finance
II,
LLC
38,000
3.500%,
6/25/2021
g
38,762
Boston
Scientific
Corporation
85,000
3.450%,
3/1/2024
92,076
Bristol-Myers
Squibb
Company
59,000
3.625%,
5/15/2024
65,008
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
312
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Consumer
Non-Cyclical
(3.4%)
-
continued
Bunge,
Ltd.
Finance
Corporation
$
35,000
3.500%,
11/24/2020
$
35,153
49,000
1.630%,
8/17/2025
49,204
Cargill,
Inc.
43,000
1.375%,
7/23/2023
g
43,981
Centene
Corporation
85,000
4.750%,
1/15/2025
87,363
61,000
5.375%,
8/15/2026
g
64,610
40,000
4.250%,
12/15/2027
41,857
90,000
4.625%,
12/15/2029
97,079
170,000
3.000%,
10/15/2030
e
173,188
Cigna
Corporation
76,000
4.125%,
11/15/2025
87,143
Conagra
Brands,
Inc.
38,000
3.800%,
10/22/2021
39,293
38,000
4.300%,
5/1/2024
42,391
Constellation
Brands,
Inc.
69,000
4.250%,
5/1/2023
75,251
CVS
Health
Corporation
38,000
2.750%,
12/1/2022
39,625
56,000
3.700%,
3/9/2023
59,985
69,000
4.100%,
3/25/2025
77,960
DaVita,
Inc.
130,000
4.625%,
6/1/2030
g
133,432
Diageo
Capital
plc
50,000
1.375%,
9/29/2025
51,231
Edgewell
Personal
Care
Company
50,000
5.500%,
6/1/2028
g
52,612
Encompass
Health
Corporation
170,000
4.500%,
2/1/2028
170,850
Energizer
Holdings,
Inc.
240,000
6.375%,
7/15/2026
g
258,048
120,000
4.375%,
3/31/2029
g
121,200
General
Mills,
Inc.
34,000
3.700%,
10/17/2023
37,066
34,000
3.650%,
2/15/2024
37,064
HCA,
Inc.
410,000
5.375%,
2/1/2025
448,950
HLF
Financing
SARL,
LLC
80,000
7.250%,
8/15/2026
g
82,200
Imperial
Brands
Finance
plc
34,000
3.125%,
7/26/2024
g
35,948
JBS
Investments
II
GmbH
70,000
5.750%,
1/15/2028
g
72,800
JBS
USA,
LLC
60,000
5.750%,
6/15/2025
g
61,848
60,000
5.500%,
1/15/2030
g
65,400
Kellogg
Company
90,000
3.125%,
5/17/2022
93,658
Kraft
Foods
Group,
Inc.
140,000
5.000%,
6/4/2042
153,127
Kraft
Heinz
Foods
Company
210,000
4.625%,
1/30/2029
233,670
200,000
3.750%,
4/1/2030
g
211,126
20,000
4.250%,
3/1/2031
g
21,928
Kroger
Company
38,000
2.800%,
8/1/2022
39,479
Medtronic,
Inc.
21,000
3.500%,
3/15/2025
23,654
Molina
Healthcare,
Inc.
90,000
4.375%,
6/15/2028
g
91,845
Mondelez
International
Holdings
Netherlands
BV
58,000
2.000%,
10/28/2021
g
58,909
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Consumer
Non-Cyclical
(3.4%)
-
continued
Mondelez
International,
Inc.
$
24,000
2.125%,
4/13/2023
$
24,909
Mylan
NV
53,000
3.150%,
6/15/2021
53,853
Mylan,
Inc.
34,000
4.200%,
11/29/2023
37,269
Novartis
Capital
Corporation
40,000
1.750%,
2/14/2025
41,875
Par
Pharmaceutical,
Inc.
110,000
7.500%,
4/1/2027
g
115,245
PepsiCo,
Inc.
64,000
2.250%,
3/19/2025
68,520
Pernod
Ricard
SA
50,000
5.750%,
4/7/2021
g
51,355
Philip
Morris
International,
Inc.
65,000
1.500%,
5/1/2025
67,069
Pilgrim's
Pride
Corporation
150,000
5.875%,
9/30/2027
g
154,875
Post
Holdings,
Inc.
80,000
5.750%,
3/1/2027
g
84,100
QBE
Insurance
Group,
Ltd.
44,000
5.875%,
5/12/2025
b,g,i
46,695
Reynolds
American,
Inc.
34,000
4.850%,
9/15/2023
37,932
Royalty
Pharma
plc
41,000
1.200%,
9/2/2025
g
40,870
Scotts
Miracle-Gro
Company
130,000
4.500%,
10/15/2029
137,719
Shire
Acquisitions
Investments
Ireland
Designated
Activity
Company
20,000
2.400%,
9/23/2021
20,361
Simmons
Foods,
Inc.
90,000
5.750%,
11/1/2024
g
90,094
Spectrum
Brands,
Inc.
60,000
5.750%,
7/15/2025
61,860
50,000
5.000%,
10/1/2029
g
51,875
40,000
5.500%,
7/15/2030
g
42,200
Sysco
Corporation
85,000
5.650%,
4/1/2025
100,502
Teleflex,
Inc.
200,000
4.875%,
6/1/2026
206,500
Tenet
Healthcare
Corporation
90,000
4.625%,
7/15/2024
90,225
170,000
5.125%,
11/1/2027
g
174,862
Teva
Pharmaceutical
Finance
Netherlands
III
BV
12,000
2.200%,
7/21/2021
11,898
140,000
2.800%,
7/21/2023
133,875
Thermo
Fisher
Scientific,
Inc.
43,000
4.133%,
3/25/2025
48,991
TreeHouse
Foods,
Inc.
60,000
4.000%,
9/1/2028
60,683
UnitedHealth
Group,
Inc.
35,000
3.350%,
7/15/2022
36,879
Upjohn,
Inc.
41,000
1.650%,
6/22/2025
g
41,961
VRX
Escrow
Corporation
455,000
6.125%,
4/15/2025
g
465,806
Zoetis,
Inc.
52,000
3.250%,
2/1/2023
54,863
Total
7,826,881
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
313
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Energy
(2.6%)
Antero
Resources
Corporation
$
75,000
5.000%,
3/1/2025
$
46,875
Apache
Corporation
50,000
4.875%,
11/15/2027
47,250
90,000
4.375%,
10/15/2028
82,350
70,000
5.100%,
9/1/2040
62,923
Archrock
Partners,
LP
120,000
6.250%,
4/1/2028
g
113,100
BP
Capital
Markets
America,
Inc.
162,000
2.520%,
9/19/2022
167,551
44,000
2.937%,
4/6/2023
46,536
BP
Capital
Markets
plc
44,000
4.875%,
3/22/2030
b,i
47,080
Buckeye
Partners,
LP
165,000
3.950%,
12/1/2026
154,008
60,000
4.125%,
12/1/2027
56,850
Canadian
Natural
Resources,
Ltd.
40,000
2.950%,
1/15/2023
41,596
41,000
2.050%,
7/15/2025
41,827
Canadian
Oil
Sands,
Ltd.
40,000
9.400%,
9/1/2021
g
42,282
Cheniere
Energy
Partners,
LP
270,000
5.625%,
10/1/2026
280,800
Chevron
Corporation
21,000
1.141%,
5/11/2023
21,405
41,000
1.554%,
5/11/2025
42,477
Comstock
Resources,
Inc.
60,000
9.750%,
8/15/2026
61,512
Continental
Resources,
Inc.
91,000
5.000%,
9/15/2022
90,375
60,000
4.500%,
4/15/2023
57,205
DCP
Midstream
Operating,
LP
80,000
5.625%,
7/15/2027
81,840
Devon
Energy
Corporation
41,000
5.850%,
12/15/2025
45,939
Diamondback
Energy,
Inc.
40,000
2.875%,
12/1/2024
40,493
Enagas
SA
225,000
5.500%,
1/15/2028
g
202,500
Enbridge,
Inc.
39,000
2.900%,
7/15/2022
40,478
139,000
6.250%,
3/1/2078
b
141,085
Endeavor
Energy
Resources,
LP
30,000
5.500%,
1/30/2026
g
29,775
100,000
5.750%,
1/30/2028
g
100,500
Energy
Transfer
Operating,
LP
42,000
4.200%,
9/15/2023
44,256
69,000
5.875%,
1/15/2024
75,888
43,000
6.625%,
2/15/2028
b,i
29,227
EnLink
Midstream
Partners,
LP
90,000
4.850%,
7/15/2026
77,860
120,000
5.600%,
4/1/2044
77,100
Enterprise
Products
Operating,
LLC
105,000
4.875%,
8/16/2077
b
91,456
EOG
Resources,
Inc.
45,000
2.625%,
3/15/2023
46,875
EQM
Midstream
Partners,
LP
100,000
6.500%,
7/1/2027
g
106,002
40,000
5.500%,
7/15/2028
40,282
EQT
Corporation
140,000
3.900%,
10/1/2027
127,575
Equinor
ASA
43,000
2.875%,
4/6/2025
46,734
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Energy
(2.6%)
-
continued
Exxon
Mobil
Corporation
$
69,000
1.571%,
4/15/2023
$
70,967
42,000
2.992%,
3/19/2025
45,997
Harvest
Midstream,
LP
70,000
7.500%,
9/1/2028
g
69,650
Hess
Corporation
42,000
3.500%,
7/15/2024
42,959
Kinder
Morgan
Energy
Partners,
LP
76,000
3.450%,
2/15/2023
79,834
Marathon
Petroleum
Corporation
34,000
4.750%,
12/15/2023
37,262
MPLX,
LP
58,000
4.500%,
7/15/2023
62,852
49,000
1.750%,
3/1/2026
48,889
Murphy
Oil
Corporation
80,000
5.875%,
12/1/2027
68,323
Nabors
Industries,
Ltd.
120,000
7.250%,
1/15/2026
g
59,100
National
Fuel
Gas
Company
41,000
5.500%,
1/15/2026
44,747
Newfield
Exploration
Company
61,000
5.625%,
7/1/2024
59,330
Noble
Energy,
Inc.
65,000
3.900%,
11/15/2024
71,108
NuStar
Logistics,
LP
100,000
5.750%,
10/1/2025
103,280
Occidental
Petroleum
Corporation
83,000
2.700%,
8/15/2022
77,553
160,000
2.900%,
8/15/2024
135,749
60,000
3.400%,
4/15/2026
47,850
60,000
8.500%,
7/15/2027
60,463
100,000
3.500%,
8/15/2029
76,680
50,000
6.450%,
9/15/2036
42,501
140,000
4.400%,
4/15/2046
99,885
ONEOK,
Inc.
21,000
2.200%,
9/15/2025
20,692
Parsley
Energy,
LLC
120,000
5.625%,
10/15/2027
g
119,400
Plains
All
American
Pipeline,
LP
87,000
6.125%,
11/15/2022
b,i
55,193
21,000
2.850%,
1/31/2023
21,375
20,000
3.600%,
11/1/2024
20,630
41,000
4.650%,
10/15/2025
44,044
QEP
Resources,
Inc.
60,000
5.625%,
3/1/2026
34,050
Sabine
Pass
Liquefaction,
LLC
37,000
6.250%,
3/15/2022
39,263
37,000
5.625%,
4/15/2023
40,526
Schlumberger
Finance
Canada,
Ltd.
41,000
1.400%,
9/17/2025
41,214
Shell
International
Finance
BV
43,000
2.375%,
4/6/2025
45,860
Southwestern
Energy
Company
145,000
7.500%,
4/1/2026
141,737
Suncor
Energy,
Inc.
41,000
3.100%,
5/15/2025
44,036
Sunoco
Logistics
Partners
Operations,
LP
35,000
4.400%,
4/1/2021
35,513
Sunoco,
LP
95,000
5.875%,
3/15/2028
97,137
Targa
Resources
Partners,
LP
190,000
5.375%,
2/1/2027
191,068
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
314
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Energy
(2.6%)
-
continued
Transocean
Guardian,
Ltd.
$
62,401
5.875%,
1/15/2024
g
$
40,249
W&T
Offshore,
Inc.
90,000
9.750%,
11/1/2023
g
61,979
Western
Gas
Partners,
LP
39,000
4.000%,
7/1/2022
39,231
Western
Midstream
Operating,
LP
40,000
6.250%,
2/1/2050
37,050
80,000
4.100%,
2/1/2025
76,200
80,000
3.950%,
6/1/2025
75,184
Williams
Partners,
LP
54,000
4.000%,
11/15/2021
55,609
60,000
4.500%,
11/15/2023
65,694
WPX
Energy,
Inc.
45,000
5.750%,
6/1/2026
46,575
60,000
5.250%,
10/15/2027
60,900
50,000
4.500%,
1/15/2030
49,375
Total
5,954,630
Financials
(6.6%)
ACE
INA
Holdings,
Inc.
35,000
2.875%,
11/3/2022
36,608
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
70,000
3.150%,
2/15/2024
69,411
41,000
3.500%,
1/15/2025
39,932
Air
Lease
Corporation
78,000
2.500%,
3/1/2021
78,469
Aircastle,
Ltd.
62,000
5.000%,
4/1/2023
62,136
Ally
Financial,
Inc.
62,000
1.450%,
10/2/2023
61,845
150,000
5.750%,
11/20/2025
168,387
American
Express
Company
34,000
3.700%,
8/3/2023
36,828
36,000
3.400%,
2/22/2024
39,108
American
International
Group,
Inc.
21,000
2.500%,
6/30/2025
22,443
Athene
Global
Funding
63,000
4.000%,
1/25/2022
g
65,402
Australia
and
New
Zealand
Banking
Group,
Ltd.
71,000
2.950%,
7/22/2030
b,g
73,572
Aviation
Capital
Group,
LLC
37,000
5.500%,
12/15/2024
g
38,168
Avolon
Holdings
Funding,
Ltd.
18,000
5.250%,
5/15/2024
g
18,080
BAC
Capital
Trust
XIV
42,000
4.000%,
(LIBOR
3M
+
0.400%),
10/19/2020
b,i
41,506
Banco
Santander
Mexico
SA
26,000
5.375%,
4/17/2025
g
28,912
Bank
of
America
Corporation
82,000
2.738%,
1/23/2022
b
82,578
84,000
3.499%,
5/17/2022
b
85,565
73,000
3.004%,
12/20/2023
b
76,645
117,000
3.550%,
3/5/2024
b
124,622
87,000
5.125%,
6/20/2024
b,i
89,213
183,000
3.864%,
7/23/2024
b
198,172
87,000
4.200%,
8/26/2024
96,871
169,000
6.250%,
9/5/2024
b,i
181,041
36,000
3.458%,
3/15/2025
b
39,016
102,000
1.319%,
6/19/2026
b
102,615
86,000
5.875%,
3/15/2028
b,i
92,730
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Financials
(6.6%)
-
continued
Bank
of
Montreal
$
103,000
3.300%,
2/5/2024
$
111,568
Bank
of
New
York
Mellon
Corporation
76,000
2.600%,
2/7/2022
78,196
43,000
1.600%,
4/24/2025
44,640
22,000
4.700%,
9/20/2025
b,i
23,342
Bank
of
Nova
Scotia
71,000
2.375%,
1/18/2023
73,947
40,000
1.950%,
2/1/2023
41,339
29,000
1.625%,
5/1/2023
29,744
66,000
4.900%,
6/4/2025
b,i
68,310
Barclays
plc
76,000
4.610%,
2/15/2023
b
79,548
99,000
4.338%,
5/16/2024
b
106,274
46,000
8.000%,
6/15/2024
b,i
48,990
49,000
2.852%,
5/7/2026
b
50,872
BB&T
Corporation
34,000
2.500%,
8/1/2024
36,186
BNP
Paribas
SA
44,000
7.625%,
3/30/2021
b,g,i
44,770
49,000
2.819%,
11/19/2025
b,g
51,690
BPCE
SA
34,000
3.000%,
5/22/2022
g
35,172
40,000
2.375%,
1/14/2025
g
41,587
Camden
Property
Trust
34,000
4.875%,
6/15/2023
37,309
Canadian
Imperial
Bank
of
Commerce
40,000
2.250%,
1/28/2025
42,179
Capital
One
Bank
USA
NA
51,000
3.375%,
2/15/2023
53,896
60,000
2.280%,
1/28/2026
b
62,087
Capital
One
Financial
Corporation
115,000
3.050%,
3/9/2022
118,791
Cascades
USA,
Inc.
120,000
5.125%,
1/15/2026
g
125,724
Central
Fidelity
Capital
Trust
I
175,000
1.275%,
(LIBOR
3M
+
1.000%),
4/15/2027
b
163,362
Charles
Schwab
Corporation
171,000
5.375%,
6/1/2025
b,i
185,287
CIT
Group,
Inc.
180,000
4.750%,
2/16/2024
185,287
Citigroup,
Inc.
37,000
2.750%,
4/25/2022
38,235
40,000
0.935%,
(LIBOR
3M
+
0.690%),
10/27/2022
b
40,198
160,000
2.312%,
11/4/2022
b
163,122
81,000
3.142%,
1/24/2023
b
83,567
84,000
5.000%,
9/12/2024
b,i
83,580
126,000
4.700%,
1/30/2025
b,i
121,747
105,000
3.352%,
4/24/2025
b
113,584
42,000
5.950%,
5/15/2025
b,i
43,995
100,000
5.500%,
9/13/2025
118,262
CNA
Financial
Corporation
36,000
3.950%,
5/15/2024
39,884
Comerica,
Inc.
22,000
5.625%,
7/1/2025
b,i
23,100
Cooperatieve
Centrale
Raiffeisen-
Boerenleenbank
BA
74,000
3.950%,
11/9/2022
78,625
Cooperatieve
Rabobank
UA
41,000
1.339%,
6/24/2026
b,g
41,497
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
315
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Financials
(6.6%)
-
continued
Corporate
Office
Properties,
LP
$
41,000
2.250%,
3/15/2026
$
41,460
Credit
Acceptance
Corporation
80,000
5.125%,
12/31/2024
g
79,442
Credit
Agricole
SA
37,000
3.375%,
1/10/2022
g
38,212
44,000
8.125%,
12/23/2025
b,g,i
51,700
41,000
1.907%,
6/16/2026
b,g
41,922
Credit
Suisse
Group
AG
63,000
7.500%,
12/11/2023
b,g,i
68,670
39,000
2.593%,
9/11/2025
b,g
40,696
Credit
Suisse
Group
Funding
(Guernsey),
Ltd.
114,000
3.800%,
9/15/2022
120,494
Danske
Bank
AS
56,000
5.000%,
1/12/2023
b,g
58,694
Deutsche
Bank
AG
82,000
2.222%,
9/18/2024
b
82,538
Deutsche
Bank
AG
of
New
York
40,000
3.950%,
2/27/2023
42,012
Digital
Realty
Trust,
LP
60,000
2.750%,
2/1/2023
62,755
Discover
Bank
34,000
4.200%,
8/8/2023
37,202
59,000
2.450%,
9/12/2024
62,235
ESH
Hospitality,
Inc.
80,000
5.250%,
5/1/2025
g
80,800
40,000
4.625%,
10/1/2027
g
39,251
Fidelity
National
Financial,
Inc.
62,000
5.500%,
9/1/2022
67,287
Fifth
Third
Bancorp
57,000
2.600%,
6/15/2022
58,927
36,000
3.650%,
1/25/2024
39,237
40,000
4.500%,
9/30/2025
b,i
40,250
First
Horizon
National
Corporation
49,000
3.550%,
5/26/2023
51,559
Five
Corners
Funding
Trust
100,000
4.419%,
11/15/2023
g
111,109
FNB
Corporation
81,000
2.200%,
2/24/2023
81,718
General
Electric
Capital
Corporation
81,000
3.100%,
1/9/2023
84,996
Goldman
Sachs
Group,
Inc.
127,000
4.165%,
(LIBOR
3M
+
3.922%),
11/2/2020
b,i
124,816
76,000
3.000%,
4/26/2022
77,096
63,000
2.876%,
10/31/2022
b
64,506
39,000
1.298%,
(LIBOR
3M
+
1.050%),
6/5/2023
b
39,254
72,000
3.625%,
2/20/2024
78,182
86,000
5.500%,
8/10/2024
b,i
90,730
44,000
3.500%,
4/1/2025
48,547
61,000
3.272%,
9/29/2025
b
66,030
61,000
4.250%,
10/21/2025
69,301
Guardian
Life
Global
Funding
40,000
2.000%,
4/26/2021
g
40,395
Hartford
Financial
Services
Group,
Inc.
34,000
2.405%,
(LIBOR
3M
+
2.125%),
2/12/2047
b,g
29,247
HCP,
Inc.
40,000
4.250%,
11/15/2023
43,772
Hospitality
Properties
Trust
40,000
4.250%,
2/15/2021
39,800
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Financials
(6.6%)
-
continued
HSBC
Holdings
plc
$
76,000
6.875%,
6/1/2021
b,i
$
77,520
76,000
3.803%,
3/11/2025
b
82,101
63,000
6.375%,
3/30/2025
b,i
65,941
49,000
2.633%,
11/7/2025
b
51,040
49,000
1.645%,
4/18/2026
b
48,862
42,000
6.500%,
3/23/2028
b,i
44,599
Huntington
Bancshares,
Inc.
55,000
3.150%,
3/14/2021
55,589
66,000
4.450%,
10/15/2027
b,i
65,340
Icahn
Enterprises,
LP
75,000
6.750%,
2/1/2024
76,933
175,000
6.375%,
12/15/2025
179,894
ILFC
E-Capital
Trust
II
63,000
3.230%,
(H15T30Y
+
1.800%),
12/21/2065
b,g
34,178
ING
Groep
NV
66,000
4.100%,
10/2/2023
72,370
Intercontinental
Exchange,
Inc.
41,000
0.700%,
6/15/2023
41,108
Iron
Mountain,
Inc.
165,000
4.875%,
9/15/2027
g
168,261
J.P.
Morgan
Chase
&
Company
91,000
2.776%,
4/25/2023
b
94,103
96,000
3.375%,
5/1/2023
102,465
110,000
5.150%,
5/1/2023
b,i
110,550
71,000
1.494%,
(LIBOR
3M
+
1.230%),
10/24/2023
b
72,096
44,000
6.750%,
2/1/2024
b,i
47,630
49,000
1.514%,
6/1/2024
b
50,060
144,000
5.000%,
8/1/2024
b,i
143,752
87,000
3.875%,
9/10/2024
96,230
176,000
4.023%,
12/5/2024
b
193,550
126,000
4.600%,
2/1/2025
b,i
123,480
44,000
2.083%,
4/22/2026
b
45,955
Kilroy
Realty,
LP
46,000
4.375%,
10/1/2025
50,776
Liberty
Mutual
Group,
Inc.
10,000
5.000%,
6/1/2021
g
10,305
Lincoln
National
Corporation
40,000
2.638%,
(LIBOR
3M
+
2.358%),
5/17/2066
b
28,860
Lloyds
Banking
Group
plc
81,000
3.000%,
1/11/2022
83,338
59,000
2.858%,
3/17/2023
b
60,649
75,000
3.900%,
3/12/2024
81,629
46,000
7.500%,
6/27/2024
b,i
48,243
80,000
6.657%,
5/21/2037
b,g,i
94,800
MetLife,
Inc.
44,000
3.850%,
9/15/2025
b,i
43,835
84,000
5.875%,
3/15/2028
b,i
91,350
MGM
Growth
Properties
Operating
Partnership,
LP
110,000
4.625%,
6/15/2025
g
112,200
Mitsubishi
UFJ
Financial
Group,
Inc.
38,000
2.998%,
2/22/2022
39,268
52,000
2.623%,
7/18/2022
53,894
82,000
3.455%,
3/2/2023
87,294
36,000
3.407%,
3/7/2024
39,111
49,000
1.412%,
7/17/2025
49,604
Mizuho
Financial
Group,
Inc.
52,000
2.721%,
7/16/2023
b
53,852
Morgan
Stanley
75,000
5.500%,
7/28/2021
78,152
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
316
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Financials
(6.6%)
-
continued
$
37,000
2.750%,
5/19/2022
$
38,343
26,000
4.875%,
11/1/2022
28,108
82,000
3.125%,
1/23/2023
86,711
81,000
4.100%,
5/22/2023
87,549
36,000
2.720%,
7/22/2025
b
38,241
89,000
2.188%,
4/28/2026
b
93,163
MPT
Operating
Partnership,
LP
110,000
5.250%,
8/1/2026
113,300
120,000
4.625%,
8/1/2029
124,856
National
Australia
Bank,
Ltd.
60,000
1.875%,
12/13/2022
61,966
National
Bank
of
Canada
60,000
2.100%,
2/1/2023
62,026
National
Securities
Clearing
Corporation
42,000
1.200%,
4/23/2023
g
42,739
Natwest
Group
plc
34,000
6.125%,
12/15/2022
37,190
34,000
6.100%,
6/10/2023
37,614
Nippon
Life
Insurance
Company
63,000
3.400%,
1/23/2050
b,g
67,095
Nomura
Holdings,
Inc.
48,000
2.648%,
1/16/2025
50,537
Outfront
Media
Cap,
LLC
205,000
4.625%,
3/15/2030
g
196,800
Park
Aerospace
Holdings,
Ltd.
18,000
4.500%,
3/15/2023
g
17,857
PayPal
Holdings,
Inc.
41,000
1.650%,
6/1/2025
42,456
PNC
Financial
Services
Group,
Inc.
34,000
3.500%,
1/23/2024
37,048
Provident
Financing
Trust
I
22,000
7.405%,
3/15/2038
25,235
Prudential
Financial,
Inc.
125,000
5.625%,
6/15/2043
b
132,756
129,000
5.200%,
3/15/2044
b
136,625
22,000
3.700%,
10/1/2050
b
22,447
Quicken
Loans,
LLC
70,000
3.625%,
3/1/2029
g
69,388
70,000
3.875%,
3/1/2031
g
69,125
Regions
Financial
Corporation
42,000
3.800%,
8/14/2023
45,534
44,000
5.750%,
6/15/2025
b,i
46,970
Reinsurance
Group
of
America,
Inc.
57,000
4.700%,
9/15/2023
62,933
Royal
Bank
of
Canada
44,000
1.600%,
4/17/2023
45,152
41,000
2.250%,
11/1/2024
43,450
Royal
Bank
of
Scotland
Group
plc
44,000
8.625%,
8/15/2021
b,i
45,100
81,000
4.269%,
3/22/2025
b
88,038
33,000
3.754%,
11/1/2029
b
34,166
Santander
Holdings
USA,
Inc.
42,000
3.450%,
6/2/2025
44,821
Santander
UK
Group
Holdings
plc
85,000
2.875%,
8/5/2021
86,708
Santander
UK
plc
60,000
2.100%,
1/13/2023
61,915
Service
Properties
Trust
70,000
4.500%,
6/15/2023
68,674
80,000
4.750%,
10/1/2026
71,292
Simon
Property
Group,
LP
60,000
2.500%,
7/15/2021
60,649
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Financials
(6.6%)
-
continued
$
35,000
2.000%,
9/13/2024
$
36,076
Societe
Generale
SA
48,000
2.625%,
10/16/2024
g
49,718
44,000
8.000%,
9/29/2025
b,g,i
49,115
Springleaf
Finance
Corporation
30,000
6.875%,
3/15/2025
33,290
110,000
7.125%,
3/15/2026
122,892
70,000
6.625%,
1/15/2028
77,686
Standard
Chartered
plc
60,000
2.744%,
9/10/2022
b,g
60,949
State
Street
Corporation
44,000
2.825%,
3/30/2023
b,g
45,525
41,000
2.354%,
11/1/2025
b
43,391
Sumitomo
Mitsui
Financial
Group,
Inc.
37,000
2.784%,
7/12/2022
38,449
144,000
2.778%,
10/18/2022
150,385
48,000
2.448%,
9/27/2024
50,722
Sumitomo
Mitsui
Trust
Bank,
Ltd.
41,000
1.050%,
9/12/2025
g
41,148
Synchrony
Financial
34,000
2.850%,
7/25/2022
35,020
42,000
4.250%,
8/15/2024
45,632
Toronto-Dominion
Bank
36,000
3.250%,
3/11/2024
39,009
Truist
Bank
67,000
1.500%,
3/10/2025
69,070
Truist
Financial
Corporation
99,000
4.950%,
9/1/2025
b,i
104,198
UBS
Group
AG
49,000
1.364%,
1/30/2027
b,g
48,962
USB
Realty
Corporation
84,000
1.422%,
(LIBOR
3M
+
1.147%),
1/15/2022
b,g,i
68,040
Ventas
Realty,
LP
42,000
3.100%,
1/15/2023
43,668
34,000
3.750%,
5/1/2024
36,424
VEREIT
Operating
Partnership,
LP
41,000
4.625%,
11/1/2025
45,292
VICI
Properties,
LP
/
VICI
Note
Company,
Inc.
40,000
4.250%,
12/1/2026
g
40,186
30,000
3.750%,
2/15/2027
g
29,498
40,000
4.625%,
12/1/2029
g
40,857
30,000
4.125%,
8/15/2030
g
29,550
Wachovia
Capital
Trust
II
50,000
0.775%,
(LIBOR
3M
+
0.500%),
1/15/2027
b
45,519
Wells
Fargo
&
Company
35,000
2.100%,
7/26/2021
35,489
38,000
2.625%,
7/22/2022
39,419
69,000
4.125%,
8/15/2023
75,163
80,000
1.491%,
(LIBOR
3M
+
1.230%),
10/31/2023
b
80,997
36,000
3.750%,
1/24/2024
39,109
61,000
1.654%,
6/2/2024
b
62,121
80,000
2.406%,
10/30/2025
b
83,815
68,000
2.188%,
4/30/2026
b
70,622
Westpac
Banking
Corporation
40,000
2.000%,
1/13/2023
41,463
40,000
2.894%,
2/4/2030
b
41,446
Total
15,139,469
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
317
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Foreign
Government
(<0.1%)
Sinopec
Group
Overseas
Development
2018,
Ltd.
$
49,000
2.150%,
5/13/2025
g
$
50,601
Total
50,601
Mortgage-Backed
Securities
(13.8%)
Federal
Home
Loan
Mortgage
Corporation
Conventional
30-Yr.
Pass
Through
2,050,945
3.000%,
3/25/2050
2,150,593
1,288,438
3.000%,
4/1/2050
1,351,041
738,032
3.500%,
7/1/2047
780,920
Federal
National
Mortgage
Association
423,743
4.500%,
5/1/2048
458,916
811,405
3.500%,
10/1/2048
857,326
517,093
3.500%,
6/1/2049
546,983
946,667
3.500%,
8/1/2049
1,002,412
Federal
National
Mortgage
Association
Conventional
15-Yr.
Pass
Through
1,400,000
1.500%,
10/1/2035
e
1,432,047
2,950,000
2.000%,
10/1/2035
e
3,065,234
3,000,000
2.500%,
10/1/2035
e
3,132,187
1,650,000
2.000%,
11/1/2035
e
1,713,799
Federal
National
Mortgage
Association
Conventional
30-Yr.
Pass
Through
2,650,000
2.000%,
10/1/2050
e
2,739,437
4,777,000
2.500%,
10/1/2050
e
5,010,252
3,000,000
2.000%,
11/1/2050
e
3,093,837
1,875,000
2.500%,
11/1/2050
e
1,962,506
1,243,838
4.000%,
7/1/2048
1,326,653
1,100,000
3.000%,
10/1/2049
e
1,152,293
Total
31,776,436
Technology
(1.4%)
Apple,
Inc.
120,000
3.450%,
5/6/2024
132,250
41,000
1.125%,
5/11/2025
41,949
Baidu,
Inc.
52,000
3.075%,
4/7/2025
55,261
Black
Knight
InfoServ,
LLC
20,000
3.625%,
9/1/2028
g
20,212
Broadcom
Corporation
155,000
2.650%,
1/15/2023
161,006
60,000
3.125%,
1/15/2025
63,994
Broadcom,
Inc.
22,000
2.250%,
11/15/2023
22,870
CDW,
LLC
100,000
4.250%,
4/1/2028
103,500
CommScope
Technologies
Finance,
LLC
229,000
6.000%,
6/15/2025
g
232,103
Dell
International,
LLC/
EMC
Corporation
54,000
4.000%,
7/15/2024
g
58,343
22,000
5.850%,
7/15/2025
g
25,670
Diamond
1
Finance
Corporation
112,000
5.450%,
6/15/2023
g
122,790
Diamond
Sports
Group,
LLC
70,000
5.375%,
8/15/2026
g
49,525
140,000
6.625%,
8/15/2027
g
72,800
Fiserv,
Inc.
73,000
2.750%,
7/1/2024
78,039
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Technology
(1.4%)
-
continued
Gartner,
Inc.
$
80,000
4.500%,
7/1/2028
g
$
83,816
60,000
3.750%,
10/1/2030
g
60,693
Global
Payments,
Inc.
17,000
2.650%,
2/15/2025
18,038
Hewlett
Packard
Enterprise
Company
35,000
2.250%,
4/1/2023
36,120
34,000
4.450%,
10/2/2023
37,387
Intuit,
Inc.
41,000
0.950%,
7/15/2025
41,384
Iron
Mountain,
Inc.
100,000
5.000%,
7/15/2028
g
102,498
Marvell
Technology
Group,
Ltd.
42,000
4.200%,
6/22/2023
45,342
Micron
Technology,
Inc.
64,000
2.497%,
4/24/2023
66,457
NCR
Corporation
220,000
6.125%,
9/1/2029
g
232,456
NXP
BV/NXP
Funding,
LLC
51,000
4.875%,
3/1/2024
g
57,342
NXP
Funding,
LLC
21,000
2.700%,
5/1/2025
g
22,228
Open
Text
Corporation
160,000
4.125%,
2/15/2030
g
164,550
Oracle
Corporation
30,000
2.500%,
5/15/2022
30,938
66,000
2.500%,
4/1/2025
70,722
Panasonic
Corporation
52,000
2.536%,
7/19/2022
g
53,658
Plantronics,
Inc.
140,000
5.500%,
5/31/2023
g
124,600
PTC,
Inc.
40,000
3.625%,
2/15/2025
g
40,600
40,000
4.000%,
2/15/2028
g
41,113
Qorvo,
Inc.
70,000
3.375%,
4/1/2031
g
71,199
Seagate
HDD
Cayman
41,000
4.250%,
3/1/2022
42,787
41,000
4.750%,
1/1/2025
45,004
Sensata
Technologies,
Inc.
150,000
3.750%,
2/15/2031
g
149,063
SS&C
Technologies,
Inc.
160,000
5.500%,
9/30/2027
g
170,035
Switch,
Ltd.
30,000
3.750%,
9/15/2028
g
30,300
Tencent
Holdings,
Ltd.
49,000
1.810%,
1/26/2026
g
49,957
Texas
Instruments,
Inc.
66,000
1.375%,
3/12/2025
68,285
Total
System
Services,
Inc.
41,000
3.750%,
6/1/2023
43,956
Xerox
Holdings
Corporation
80,000
5.000%,
8/15/2025
g
79,062
Total
3,319,902
Transportation
(0.4%)
Air
Canada
Pass
Through
Trust
9,362
3.875%,
3/15/2023
g
8,053
Air
Lease
Corporation
40,000
2.300%,
2/1/2025
39,277
41,000
3.375%,
7/1/2025
41,858
American
Airlines,
Inc.
30,000
11.750%,
7/15/2025
g
28,950
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
318
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Transportation
(0.4%)
-
continued
CSX
Corporation
$
34,000
3.700%,
11/1/2023
$
36,891
Delta
Air
Lines,
Inc.
120,000
7.000%,
5/1/2025
g
131,738
82,073
4.500%,
10/20/2025
g
84,227
J.B.
Hunt
Transport
Services,
Inc.
35,000
3.300%,
8/15/2022
36,434
Mileage
Plus
Holdings,
LLC
80,000
6.500%,
6/20/2027
g
83,300
Penske
Truck
Leasing
Company,
LP
36,000
3.375%,
2/1/2022
g
37,171
Ryder
System,
Inc.
78,000
3.500%,
6/1/2021
79,596
Southwest
Airlines
Company
20,000
4.750%,
5/4/2023
21,357
65,000
5.250%,
5/4/2025
71,575
Union
Pacific
Corporation
63,000
3.750%,
7/15/2025
71,724
United
Airlines
Pass
Through
Trust
35,000
3.700%,
12/1/2022
32,783
XPO
Logistics,
Inc.
80,000
6.125%,
9/1/2023
g
81,654
150,000
6.750%,
8/15/2024
g
158,880
Total
1,045,468
Utilities
(1.3%)
AES
Corporation
110,000
5.125%,
9/1/2027
117,161
Alabama
Power
Company
38,000
2.450%,
3/30/2022
39,049
Ameren
Corporation
40,000
2.500%,
9/15/2024
42,361
Berkshire
Hathaway
Energy
Company
42,000
4.050%,
4/15/2025
g
47,910
Calpine
Corporation
130,000
4.500%,
2/15/2028
g
133,138
CenterPoint
Energy,
Inc.
40,000
2.500%,
9/1/2022
41,335
34,000
2.500%,
9/1/2024
36,167
Dominion
Energy,
Inc.
34,000
2.715%,
8/15/2021
34,622
34,000
3.071%,
8/15/2024
36,554
64,000
4.650%,
12/15/2024
b,i
64,856
DTE
Energy
Company
54,000
3.300%,
6/15/2022
56,192
53,000
2.529%,
10/1/2024
56,332
Duke
Energy
Corporation
80,000
2.400%,
8/15/2022
82,687
63,000
4.875%,
9/16/2024
b,i
66,642
Edison
International
42,000
4.950%,
4/15/2025
45,964
Entergy
Corporation
41,000
0.900%,
9/15/2025
40,943
Evergy,
Inc.
35,000
2.450%,
9/15/2024
37,045
Eversource
Energy
43,000
2.500%,
3/15/2021
43,352
Exelon
Generation
Company,
LLC
41,000
3.250%,
6/1/2025
44,814
FirstEnergy
Corporation
59,000
2.850%,
7/15/2022
60,472
41,000
2.050%,
3/1/2025
41,471
Principal
Amount
Long-Term
Fixed
Income
(52.2%)
Value
Utilities
(1.3%)
-
continued
Florida
Power
&
Light
Company
$
44,000
2.850%,
4/1/2025
$
48,249
Georgia
Power
Company
40,000
2.100%,
7/30/2023
41,753
35,000
2.200%,
9/15/2024
36,916
GFL
Environmental,
Inc.
100,000
3.750%,
8/1/2025
g
99,750
NextEra
Energy
Operating
Partners,
LP
220,000
3.875%,
10/15/2026
g
227,700
NiSource,
Inc.
95,000
5.650%,
6/15/2023
b,i
94,287
41,000
0.950%,
8/15/2025
40,949
PG&E
Corporation
60,000
5.000%,
7/1/2028
58,200
40,000
5.250%,
7/1/2030
38,700
PPL
Capital
Funding,
Inc.
69,000
3.950%,
3/15/2024
75,757
PSEG
Power,
LLC
75,000
3.000%,
6/15/2021
76,217
Public
Service
Enterprise
Group,
Inc.
34,000
2.875%,
6/15/2024
36,375
Sempra
Energy
80,000
3.550%,
6/15/2024
86,603
44,000
4.875%,
10/15/2025
b,i
45,210
Southern
Company
85,000
4.000%,
1/15/2051
b
85,236
Suburban
Propane
Partners,
LP
100,000
5.875%,
3/1/2027
102,375
Talen
Energy
Supply,
LLC
110,000
7.625%,
6/1/2028
g
110,000
TerraForm
Power
Operating,
LLC
115,000
5.000%,
1/31/2028
g
125,888
TransCanada
Trust
165,000
5.875%,
8/15/2076
b
175,725
Vistra
Operations
Company,
LLC
180,000
5.000%,
7/31/2027
g
189,045
Total
2,964,002
Total
Long-Term
Fixed
Income
(cost
$119,470,948)
120,369,400
Shares
Registered
Investment
Companies
(
18.9%
)
Value
Unaffiliated (3.6%)
4,284
Aberdeen
Asia-Pacific
Income
Fund,
Inc.
17,093
2,175
AllianceBernstein
Global
High
Income
Fund,
Inc.
22,859
6,450
AllianzGI
NFJ
Dividend
Interest
&
Premium
Strategy
Fund
76,110
1,046
BlackRock
Core
Bond
Trust
16,380
1,615
BlackRock
Corporate
High
Yield
Fund,
Inc.
17,248
1,164
BlackRock
Credit
Allocation
Income
Trust
16,552
3,300
BlackRock
Enhanced
Equity
Dividend
Trust
24,123
2,562
BlackRock
Enhanced
Global
Dividend
Trust
24,518
2,843
BlackRock
Multi-Sector
Income
Trust
44,862
9,264
BlackRock
Resources
&
Commodities
Strategy
Trust
55,121
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
319
Shares
Registered
Investment
Companies
(18.9%)
Value
Unaffiliated (3.6%)-
continued
1,900
Brookfield
Real
Assets
Income
Fund,
Inc.
$
31,388
1,608
Cohen
&
Steers
Quality
Income
Realty
Fund,
Inc.
17,865
1,414
Eaton
Vance
Limited
Duration
Income
Fund
15,992
2,259
Eaton
Vance
Tax-Managed
Global
Diversified
Equity
Income
Fund
16,626
1,901
Invesco
Dynamic
Credit
Opportunities
Fund
17,508
120,511
Invesco
Senior
Loan
ETF
2,619,909
28,775
iShares
S&P
U.S.
Preferred
Stock
Index
Fund
1,048,849
4,311
Liberty
All-Star
Equity
Fund
25,909
3,825
Nuveen
Credit
Strategies
Income
Fund
22,606
1,315
PGIM
Global
High
Yield
Fund,
Inc.
17,424
1,281
PGIM
High
Yield
Bond
Fund,
Inc.
17,691
872
Pimco
Dynamic
Credit
And
Mortgage
Income
Fund
17,510
3,158
Royce
Micro-Cap
Trust,
Inc.
24,222
3,203
Royce
Value
Trust,
Inc.
40,486
7,054
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
735,521
10,600
Templeton
Global
Income
Fund
56,710
651
Tri-Continental
Corporation
16,880
34,300
Vanguard
Short-Term
Corporate
Bond
ETF
l
2,841,755
6,550
Voya
Global
Equity
Dividend
&
Premium
Opportunity
Fund
32,423
4,400
Wells
Fargo
Income
Opportunities
Fund
32,120
19,373
Western
Asset
High
Income
Opportunity
Fund,
Inc.
94,928
Total
8,059,188
Affiliated (15.3%)
3,596,743
Thrivent
Core
Emerging
Markets
Debt
Fund
35,320,015
Total
35,320,015
Total
Registered
Investment
Companies
(cost
$42,958,011)
43,379,203
Shares
Collateral
Held
for
Securities
Loaned
(
1.2%
)
Value
2,811,590
Thrivent
Cash
Management
Trust
2,811,590
Total
Collateral
Held
for
Securities
Loaned
(cost
$2,811,590)
2,811,590
Shares
Preferred
Stock
(
0.9%
)
Value
Communications
Services
(0.1%)
4,325
AT&T,
Inc.,
4.750%
i
110,288
1,250
AT&T,
Inc.,
5.000%
i
33,387
Total
143,675
Consumer
Staples
(0.1%)
5,280
CHS,
Inc.,
7.100%
b,i
140,712
Total
140,712
Energy
(<0.1%)
9,435
Crestwood
Equity
Partners,
LP,
9.250%
i
55,572
Shares
Preferred
Stock
(0.9%)
Value
Energy
(<0.1%)
-
continued
825
Energy
Transfer
Operating,
LP,
7.600%
b,i
$
14,363
1,736
Nustar
Logistics,
LP,
7.009%
b
33,227
Total
103,162
Financials
(0.7%)
1,250
Aegon
Funding
Corporation
II,
5.100%
31,837
1,870
Agribank
FCB,
6.875%
b,i
199,155
2,400
Allstate
Corporation,
5.100%
i
64,272
2,200
Bank
of
America
Corporation,
5.000%
i
57,728
1,000
Bank
of
America
Corporation,
5.375%
i
26,870
2,500
Capital
One
Financial
Corporation,
5.000%
i
62,700
1,445
Cobank
ACB,
6.250%
b,i
150,280
2,775
Equitable
Holdings,
Inc.,
5.250%
i
70,846
70
First
Horizon
Bank,
3.750%
b,g,i
52,500
5,000
GMAC
Capital
Trust
I,
6.065%
b
124,850
1,950
Hartford
Financial
Services
Group,
Inc.,
7.875%
b
53,956
1,750
J.P.
Morgan
Chase
&
Company,
4.750%
i
46,305
1,750
J.P.
Morgan
Chase
&
Company,
5.750%
i
47,793
1,750
Legg
Mason,
Inc.,
5.450%
44,625
3,700
Morgan
Stanley,
7.125%
b,i
102,120
425
Synovus
Financial
Corporation,
5.875%
b,i
10,935
2,650
Truist
Financial
Corporation,
4.750%
i,m
68,768
213
Wells
Fargo
&
Company,
Convertible,
7.500%
i
285,857
Total
1,501,397
Real
Estate
(<0.1%)
3,200
Public
Storage,
4.125%
i,m
82,976
668
Public
Storage,
4.625%
i
17,982
175
Public
Storage,
4.700%
i
4,748
275
Public
Storage,
4.875%
i
7,436
Total
113,142
Utilities
(<0.1%)
3,525
Southern
Company,
4.950%
92,919
Total
92,919
Total
Preferred
Stock
(cost
$2,090,241)
2,095,007
Shares
Common
Stock
(
0.1%
)
Value
Energy
(0.1%)
600
Enbridge,
Inc.
17,520
1,300
Kinder
Morgan,
Inc.
16,029
57,427
McDermott
International,
Inc.
m
137,825
1,000
MPLX,
LP
15,740
800
Williams
Companies,
Inc.
15,720
Total
202,834
Financials
(<0.1%)
2,000
FS
KKR
Capital
Corporation
31,720
2,200
FS
KKR
Capital
Corporation
II
32,362
2,700
Golub
Capital
BDC,
Inc.
35,748
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
320
Shares
Common
Stock
(0.1%)
Value
Financials
(<0.1%)
-
continued
1,900
Sixth
Street
Specialty
Lending,
Inc.
$
32,699
Total
132,529
Total
Common
Stock
(cost
$367,513)
335,363
Shares
or
Principal
Amount
Short-Term
Investments
(
12.8%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
300,000
0.070%,
10/14/2020
n,o
299,993
Thrivent
Core
Short-Term
Reserve
Fund
2,920,206
0.310%
29,202,063
U.S.
Treasury
Bills
100,000
0.092%,
11/19/2020
n,p
99,988
Total
Short-Term
Investments
(cost
$29,607,889)
29,602,044
Total
Investments
(cost
$261,851,387)
113.3%
$261,397,116
Other
Assets
and
Liabilities,
Net
(13.3%)
(30,653,698)
Total
Net
Assets
100.0%
$230,743,418
a
The
stated
interest
rate
represents
the
weighted
average
of
all
contracts
within
the
bank
loan
facility.
b
Denotes
variable
rate
securities.
The
rate
shown
is
as
of
September
30,
2020.
The
rates
of
certain
variable
rate
securities
are
based
on
a
published
reference
rate
and
spread;
these
may
vary
by
security
and
the
reference
rate
and
spread
are
indicated
in
their
description. The
rates
of
other
variable
rate
securities
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions. These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
c
Security
is
valued
using
significant
unobservable
inputs.
Further
information
on
valuation
can
be
found
in
the
Notes
to
Financial
Statements.
d
All
or
a
portion
of
the
loan
is
unfunded.
e
Denotes
investments
purchased
on
a
when-issued
or
delayed
delivery
basis.
f
In
bankruptcy. Interest
is
not
being
accrued.
g
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$44,969,708
or
19.5%
of
total
net
assets.
h
Denotes
step
coupon
securities.
Step
coupon
securities
pay
an
initial
coupon
rate
for
the
first
period
and
then
different
coupon
rates
for
following
periods.
The
rate
shown
is
as
of
September
30,
2020.
i
Denotes
perpetual
securities.
Perpetual
securities
pay
an
indefinite
stream
of
income
and
have
no
contractual
maturity
date.
Date
shown,
if
applicable,
is
next
call
date.
j
Denotes
interest
only
security. Interest
only
securities
represent
the
right
to
receive
monthly
interest
payments
on
an
underlying
pool
of
mortgages
or
assets. The
principal
shown
is
the
outstanding
par
amount
of
the
pool
as
of
the
end
of
the
period.
The
actual
effective
yield
of
the
security
is
different
than
the
stated
coupon
rate.
k
All
or
a
portion
of
the
security
is
insured
or
guaranteed.
l
All
or
a
portion
of
the
security
is
on
loan.
m
Non-income
producing
security.
n
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
o
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
p
All
or
a
portion
of
the
security
is
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
*
Denotes
restricted
securities.
Restricted
securities
are
investment
securities
which
cannot
be
offered
for
public
sale
without
first
being
registered
under
the
Securities
Act
of
1933.
The
value
of
all
restricted
securities
held
in
Opportunity
Income
Plus
Portfolio
as
of
September
30,
2020
was
$66,000
or
0.0%
of
total
net
assets.
The
following
table
indicates
the
acquisition
date
and
cost
of
restricted
securities
shown
in
the
schedule
as
of
September
30,
2020.
Security
Acquisition
Date
Cost
Windstream
Services,
LLC,
10/31/2025
1/14/2020
$
107,957
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Opportunity
Income
Plus
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Long-Term
Fixed
Income
$
62,588
Common
Stock
2,692,625
Total
lending
$2,755,213
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$2,811,590
Net
amounts
due
to
counterparty
$56,377
Definitions:
ACES
-
Alternative
Credit
Enhancement
Securities
CLO
-
Collateralized
Loan
Obligation
ETF
-
Exchange
Traded
Fund
REMIC
-
Real
Estate
Mortgage
Investment
Conduit
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Ser.
-
Series
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Reference
Rate
Index:
12
MTA
-
12
Month
Treasury
Average
CMT
1Y
-
Constant
Maturity
Treasury
Yield
1
Year
H15T30Y
-
U.
S.
Treasury
Yield
Curve
Rate
Treasury
Note
Constant
Maturity
30
Year
LIBOR
1W
-
ICE
Libor
USD
Rate
1
Week
LIBOR
1M
-
ICE
Libor
USD
Rate
1
Month
LIBOR
2M
-
ICE
Libor
USD
Rate
2
Month
LIBOR
3M
-
ICE
Libor
USD
Rate
3
Month
PRIME
-
Federal
Reserve
Prime
Loan
Rate
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
321
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Opportunity
Income
Plus
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Bank
Loans
Basic
Materials
2,995,489
–
2,690,124
305,365
Capital
Goods
7,105,047
–
6,755,031
350,016
Communications
Services
17,134,845
–
16,380,545
754,300
Consumer
Cyclical
8,020,119
–
7,571,619
448,500
Consumer
Non-Cyclical
11,382,930
–
11,382,930
–
Energy
1,818,153
–
1,818,153
–
Financials
5,369,126
–
5,369,126
–
Technology
5,572,066
–
5,572,066
–
Transportation
1,851,081
–
1,851,081
–
Utilities
1,555,653
–
1,555,653
–
Long-Term
Fixed
Income
Asset-Backed
Securities
10,677,556
–
10,677,556
–
Basic
Materials
1,939,388
–
1,939,388
–
Capital
Goods
3,648,212
–
3,648,212
–
Collateralized
Mortgage
Obligations
21,882,780
–
21,882,780
–
Commercial
Mortgage-Backed
Securities
1,064,629
–
1,064,629
–
Communications
Services
6,495,283
–
6,495,283
–
Consumer
Cyclical
6,584,163
–
6,584,163
–
Consumer
Non-Cyclical
7,826,881
–
7,826,881
–
Energy
5,954,630
–
5,954,630
–
Financials
15,139,469
–
15,139,469
–
Foreign
Government
50,601
–
50,601
–
Mortgage-Backed
Securities
31,776,436
–
31,776,436
–
Technology
3,319,902
–
3,319,902
–
Transportation
1,045,468
–
1,045,468
–
Utilities
2,964,002
–
2,964,002
–
Registered
Investment
Companies
Unaffiliated
8,059,188
8,059,188
–
–
Preferred
Stock
Communications
Services
143,675
143,675
–
–
Consumer
Staples
140,712
140,712
–
–
Energy
103,162
103,162
–
–
Financials
1,501,397
1,099,462
401,935
–
Real
Estate
113,142
113,142
–
–
Utilities
92,919
92,919
–
–
Common
Stock
Energy
202,834
202,834
–
–
Financials
132,529
132,529
–
–
Short-Term
Investments
399,981
–
399,981
–
Subtotal
Investments
in
Securities
$194,063,448
$10,087,623
$182,117,644
$1,858,181
Other
Investments *
Total
Affiliated
Registered
Investment
Companies
35,320,015
Affiliated
Short-Term
Investments
29,202,063
Collateral
Held
for
Securities
Loaned
2,811,590
Subtotal
Other
Investments
$67,333,668
Total
Investments
at
Value
$261,397,116
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
52,346
52,346
–
–
Total
Asset
Derivatives
$52,346
$52,346
$–
$–
Liability
Derivatives
Futures
Contracts
54,739
54,739
–
–
Credit
Default
Swaps
740
–
740
–
Total
Liability
Derivatives
$55,479
$54,739
$740
$–
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
322
Reference
Description:
CBOT
-
Chicago
Board
of
Trade
CME
-
Chicago
Mercantile
Exchange
S&P
-
Standard
&
Poor's
The
following
table
presents
Opportunity
Income
Plus
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$299,993
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CBOT
2-Yr.
U.S.
Treasury
Note
42
December
2020
$
9,278,191
$
2,168
CBOT
5-Yr.
U.S.
Treasury
Note
33
December
2020
4,155,267
3,764
CME
Ultra
Long
Term
U.S.
Treasury
Bond
10
December
2020
2,252,685
(
34,560)
Total
Futures
Long
Contracts
$
15,686,143
(
$
28,628)
CBOT
10-Yr.
U.S.
Treasury
Note
(32)
December
2020
(
$
4,459,913)
(
$
5,087)
CBOT
U.S.
Long
Bond
(31)
December
2020
(
5,511,133)
46,414
CME
E-mini
S&P
500
Index
(8)
December
2020
(
1,330,040)
(
10,760)
Ultra
10-Yr.
U.S.
Treasury
Note
(11)
December
2020
(
1,754,808)
(
4,332)
Total
Futures
Short
Contracts
(
$
13,055,894)
$26,235
Total
Futures
Contracts
$
2,630,249
($2,393)
The
following
table
presents
Opportunity
Income
Plus
Portfolio's
swaps
contracts
held
as
of
September
30,
2020.
Investments
totaling
$99,988
were
pledged
as
collateral
under
the
agreement
between
the
counterparty,
the
custodian
and
the
fund
for
open
swap
contracts.
Credit
Default
Swaps
Buy/Sell
Protection
1
Termination
Date
Notional
Principal
Amount
2
Upfront
Payments/
(Receipts)
Value
3
Unrealized
Gain/(Loss)
CDX
HY
35,
5
Year,
at
5.00%,
Quarterly
Buy
12/20/2025
$
1,110,000
$
–
(
$
740)
(
$
740)
Total
Credit
Default
Swaps
$–
($740)
($740)
1
As
the
buyer
of
protection,
Opportunity
Income
Plus
Portfolio
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
As
the
seller
of
protection,
Opportunity
Income
Plus
Portfolio
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
2
The
maximum
potential
amount
of
future
payments
Opportunity
Income
Plus
Portfolio
could
be
required
to
make
as
the
seller
or
receive
as
the
buyer
of
protection.
3
The
values
for
credit
indexes
(CDX
or
LCDX)
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
liability
or
profit
for
the
credit
default
swap
contract
had
the
contract
been
closed
as
of
the
reporting
date.
When
protection
has
been
sold,
the
value
of
the
swap
will
increase
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
When
protection
has
been
purchased,
the
value
of
the
swap
will
increase
when
the
swap
spread
increases
representing
a
deterioration
in
the
reference
entity's
credit
worthiness.
The
value
of
the
swap
will
decrease
when
the
swap
spread
declines
representing
an
improvement
in
the
reference
entity's
credit
worthiness.
Opportunity
Income
Plus
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
323
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Opportunity
Income
Plus
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$32,562
$3,189
$–
$35,320
3,597
15.3%
Total
Affiliated
Registered
Investment
Companies
32,562
35,320
15.3
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
35,398
94,337
100,509
29,202
2,920
12.6
Total
Affiliated
Short-Term
Investments
35,398
29,202
12.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
370
25,695
23,253
2,812
2,812
1.2
Total
Collateral
Held
for
Securities
Loaned
370
2,812
1.2
Total
Value
$68,330
$67,334
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Registered
Investment
Companies
Core
Emerging
Markets
Debt
$–
$(431)
–
$1,165
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
(18)
(6)
–
247
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$1,412
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
6
Total
Affiliated
Income
from
Securities
Loaned,
Net
$6
Total
Value
$(18)
$(437)
$–
Partner
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
324
Shares
Common
Stock
(
91.3%
)
Value
Bermuda
(1.0%)
196,000
China
Resources
Gas
Group,
Ltd.
$
880,027
Total
880,027
Brazil
(5.3%)
346,129
Banco
Bradesco
SA
ADR
1,187,223
220,500
Petroleo
Brasileiro
SA
773,491
158,202
Vale
SA
ADR
1,673,777
72,842
WEG
SA
848,152
Total
4,482,643
Cayman
Islands
(20.3%)
290,200
Budweiser
Brewing
Company
APAC,
Ltd.
a
848,789
100,500
China
Conch
Venture
Holdings,
Ltd.
467,535
410,000
China
Resources
Land,
Ltd.
1,869,938
15,391
Huazhu
Group,
Ltd.
ADR
665,507
79,600
Meituan
Dianping
b
2,507,504
5,955
New
Oriental
Education
&
Technology
Group,
Inc.
ADR
b
890,272
315,200
Sands
China,
Ltd.
1,221,782
111,200
Tencent
Holdings,
Ltd.
7,510,825
53,500
Wuxi
Biologics
(Cayman),
Inc.
a,b
1,311,182
Total
17,293,334
China
(18.1%)
10,361
Autohome,
Inc.
ADR
994,656
54,900
China
International
Travel
Service
Corporation,
Ltd.
1,803,539
226,000
China
Merchants
Bank
Company,
Ltd.
1,072,464
19,800
Hangzhou
Tigermed
Consulting
Company,
Ltd.
300,524
9,900
Hangzhou
Tigermed
Consulting
Company,
Ltd.
a,b
141,026
7,595
Kweichow
Moutai
Company,
Ltd.
1,867,961
155,300
LONGi
Green
Energy
Technology
Company,
Ltd.
1,718,192
161,525
Midea
Group
Company,
Ltd.
1,731,197
187,800
NARI
Technology
Company,
Ltd.
545,994
288,000
Ping
An
Insurance
Company
of
China,
Ltd.
2,989,684
95,982
Shanghai
International
Airport
Company,
Ltd.
974,538
71,600
Shenzhou
International
Group
Holdings,
Ltd.
1,219,269
Total
15,359,044
Hong
Kong
(4.2%)
142,000
AIA
Group,
Ltd.
1,411,494
48,500
China
Mobile,
Ltd.
311,335
38,530
Hong
Kong
Exchanges
&
Clearing,
Ltd.
1,813,742
Total
3,536,571
India
(10.2%)
30,407
Hindustan
Unilever,
Ltd.
854,519
84,762
Housing
Development
Finance
Corporation
2,009,088
333,720
ITC,
Ltd.
779,627
74,078
Kotak
Mahindra
Bank,
Ltd.
b
1,279,025
87,121
SBI
Life
Insurance
Company,
Ltd.
a,b
958,731
55,730
Tata
Consultancy
Services,
Ltd.
1,885,481
16,447
Ultra
Tech
Cement,
Ltd.
905,427
Total
8,671,898
Shares
Common
Stock
(91.3%)
Value
Indonesia
(2.4%)
1,670,300
Astra
International
Tbk
PT
$
502,912
566,100
Bank
Central
Asia
Tbk
PT
1,033,362
2,379,200
Bank
Rakyat
Indonesia
Persero
Tbk
PT
488,104
Total
2,024,378
Mexico
(2.7%)
18,300
Fomento
Economico
Mexicano
SAB
de
CV
ADR
1,028,277
37,500
Grupo
Aeroportuario
del
Sureste,
SAB
de
CV
b
435,181
245,813
Grupo
Financiero
Banorte
SAB
de
CV
ADR
b
849,226
Total
2,312,684
Netherlands
(5.0%)
2,900
ASML
Holding
NV
1,071,188
20,266
Prosus
NV
b
1,870,618
20,320
Yandex
NV
b
1,325,880
Total
4,267,686
Philippines
(1.6%)
1,310,200
Ayala
Land,
Inc.
806,370
405,076
Bank
of
the
Philippine
Islands
536,351
Total
1,342,721
Russian
Federation
(2.6%)
11,799
Lukoil
ADR
681,757
57,366
NovaTek
PJSC
783,838
252,698
Sberbank
of
Russia
PJSC
b
739,219
Total
2,204,814
South
Africa
(2.2%)
10,725
Naspers,
Ltd.
b
1,894,291
Total
1,894,291
South
Korea
(3.3%)
3,330
LG
Chem,
Ltd.
1,858,706
2,630
Samsung
SDI
Company,
Ltd.
971,570
Total
2,830,276
Taiwan
(9.0%)
505,499
Taiwan
Semiconductor
Manufacturing
Company,
Ltd.
7,604,767
Total
7,604,767
United
Kingdom
(0.7%)
28,800
Mondi
plc
610,469
Total
610,469
United
States
(2.7%)
1,630
Mercadolibre,
Inc.
b
1,764,442
10,258
Yum
China
Holding,
Inc.
543,161
Total
2,307,603
Total
Common
Stock
(cost
$55,675,202)
77,623,206
Partner
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
325
Shares
Preferred
Stock
(
8.0%
)
Value
South
Korea
(8.0%)
158,446
Samsung
Electronics
Company,
Ltd.
$
6,819,676
Total
6,819,676
Total
Preferred
Stock
(cost
$2,818,372)
6,819,676
Shares
Short-Term
Investments
(
0.8%
)
Thrivent
Core
Short-Term
Reserve
Fund
70,793
0.310%
707,928
Total
Short-Term
Investments
(cost
$707,973)
707,928
Total
Investments
(cost
$59,201,547)
100.1%
$85,150,810
Other
Assets
and
Liabilities,
Net
(0.1%)
(114,918)
Total
Net
Assets
100.0%
$85,035,892
a
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$3,259,728
or
3.8%
of
total
net
assets.
b
Non-income
producing
security.
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Partner
Emerging
Markets
Equity
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
12,036,987
2,320,536
9,716,451
–
Consumer
Discretionary
12,849,585
3,863,382
8,986,203
–
Consumer
Staples
5,379,173
1,028,277
4,350,896
–
Energy
3,119,113
–
3,119,113
–
Financials
18,705,866
1,187,223
17,518,643
–
Health
Care
1,752,732
–
1,752,732
–
Industrials
4,127,809
–
4,127,809
–
Information
Technology
11,533,006
–
11,533,006
–
Materials
5,048,379
1,673,777
3,374,602
–
Real
Estate
806,370
–
806,370
–
Utilities
2,264,186
–
2,264,186
–
Preferred
Stock
Information
Technology
6,819,676
–
6,819,676
–
Subtotal
Investments
in
Securities
$84,442,882
$10,073,195
$74,369,687
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
707,928
Subtotal
Other
Investments
$707,928
Total
Investments
at
Value
$85,150,810
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Partner
Emerging
Markets
Equity
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
326
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Partner
Emerging
Markets
Equity
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$733
$13,343
$13,368
$708
71
0.8%
Total
Affiliated
Short-Term
Investments
733
708
0.8
Total
Value
$733
$708
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$0
$0
–
$9
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$9
Total
Value
$0
$0
$–
Partner
Healthcare
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
327
Shares
Common
Stock
(
98.4%
)
Value
Biotechnology
(21.2%)
20,110
Acceleron
Pharma,
Inc.
a
$
2,262,978
13,156
Agios
Pharmaceuticals,
Inc.
a
460,460
13,869
Alexion
Pharmaceuticals,
Inc.
a
1,587,030
16,105
Allakos
,
Inc.
a
1,311,752
3,911
Allogene
Therapeutics,
Inc.
a
147,484
16,711
Alnylam
Pharmaceuticals,
Inc.
a
2,433,122
29,259
Amgen,
Inc.
7,436,467
8,875
Annexon
,
Inc.
a
268,291
5,986
Arcutis
Biotherapeutics
,
Inc.
a
175,390
10,012
Arena
Pharmaceuticals,
Inc.
a
748,797
10,449
Atreca
,
Inc.
a
145,972
5,747
Biogen,
Inc.
a
1,630,309
18,437
BioMarin
Pharmaceutical,
Inc.
a
1,402,687
5,278
Blueprint
Medicines
Corporation
a
489,271
2,707
ChemoCentryx
,
Inc.
a
148,344
7,651
Dicerna
Pharmaceuticals,
Inc.
a
137,641
4,628
Eidos
Therapeutics,
Inc.
a
233,853
3,080
FibroGen
,
Inc.
a
126,650
3,324
Galapagos
NV
ADR
a
471,709
662
Genfit
ADR
a
3,522
7,730
Genmab
AS
a
2,805,260
25,799
Genmab
AS
ADR
a
944,501
41,345
Gilead
Sciences,
Inc.
2,612,590
15,038
Halozyme
Therapeutics,
Inc.
a
395,199
10,948
Humanigen
,
Inc.
a
116,487
17,178
Immunomedics
,
Inc.
a
1,460,645
18,993
Immunovant
,
Inc.
a
668,364
12,716
Incyte
Corporation
a
1,141,134
7,225
Intellia
Therapeutics,
Inc.
a
143,633
16,200
Iovance
Biotherapeutics
,
Inc.
a
533,304
4,670
Kodiak
Sciences,
Inc.
a
276,511
2,683
Krystal
Biotech,
Inc.
a
115,503
7,787
Livongo
Health,
Inc.
a
1,090,569
30,019
Mersana
Therapeutics,
Inc.
a
558,954
2,738
Mirati
Therapeutics,
Inc.
a
454,645
11,395
Molecular
Templates,
Inc.
a
124,433
11,245
Neurocrine
Biosciences,
Inc.
a
1,081,319
4,360
Passage
Bio,
Inc.
a
57,160
41,606
PPD,
Inc.
a
1,539,006
11,100
Prothena
Corporation
plc
a
110,889
4,421
RAPT
Therapeutics,
Inc.
a
142,356
6,620
Regeneron
Pharmaceuticals,
Inc.
a
3,705,744
5,806
Relay
Therapeutics,
Inc.
a
247,277
4,632
Sarepta
Therapeutics,
Inc.
a
650,472
33,169
Seattle
Genetics,
Inc.
a
6,490,842
13,900
Seres
Therapeutics,
Inc.
a
393,509
7,235
Taysha
Gene
Therapies,
Inc.
a
162,064
5,383
TCR2
Therapeutics,
Inc.
a
109,383
22,299
Vertex
Pharmaceuticals,
Inc.
a
6,068,004
4,058
Vir
Biotechnology,
Inc.
a
139,311
Total
55,960,797
Financials
(0.4%)
6,700
ARYA
Sciences
Acquisition
Corporation
II
a
73,700
8,560
ARYA
Sciences
Acquisition
Corporation
III
a
91,763
19,371
GoHealth
,
Inc.
a
252,307
7,296
Health
Sciences
Acquisitions
Corporation
2
a
80,256
19,084
Longview
Acquisition
Corporation
a
193,703
6,440
Panacea
Acquisition
Corporation
a
77,280
5,200
Selectquote
,
Inc.
a
105,300
Shares
Common
Stock
(98.4%)
Value
Financials
(0.4%)
-
continued
14,300
Therapeutics
Acquisition
Corporation
a
$
205,634
Total
1,079,943
Health
Care
Distributors
(0.7%)
7,353
AmerisourceBergen
Corporation
712,653
13,215
Cardinal
Health,
Inc.
620,444
3,179
McKesson
Corporation
473,448
Total
1,806,545
Health
Care
Equipment
(29.7%)
123,961
Abbott
Laboratories
13,490,676
5,667
ABIOMED,
Inc.
a
1,570,099
73,568
Avantor
,
Inc.
a
1,654,544
65,730
Baxter
International,
Inc.
5,286,006
16,304
Becton,
Dickinson
and
Company
3,793,615
193,878
Boston
Scientific
Corporation
a
7,408,078
83,367
Edwards
Lifesciences
Corporation
a
6,654,354
19,666
Envista
Holdings
Corporation
a
485,357
3,110
GoodRx
Holdings,
Inc.
a
172,916
7,307
Intuitive
Surgical,
Inc.
a
5,184,609
15,822
Masimo
Corporation
a
3,734,941
76,631
Medtronic
plc
7,963,493
7,620
Nevro
Corporation
a
1,061,466
13,332
ResMed
,
Inc.
2,285,505
2,358
SI-BONE,
Inc.
a
55,932
5,081
Silk
Road
Medical,
Inc.
a
341,494
1,300
Straumann
Holding
AG
1,315,082
31,660
Stryker
Corporation
6,596,994
10,242
Teleflex,
Inc.
3,486,582
21,173
Varian
Medical
Systems,
Inc.
a
3,641,756
15,950
Zimmer
Biomet
Holdings,
Inc.
2,171,433
Total
78,354,932
Health
Care
Facilities
(0.5%)
20,731
Encompass
Health
Corporation
1,347,100
Total
1,347,100
Health
Care
Services
(4.4%)
9,708
Amedisys
,
Inc.
a
2,295,262
27,863
Cigna
Holding
Company
4,720,271
10,573
LHC
Group,
Inc.
a
2,247,397
6,684
Quest
Diagnostics,
Inc.
765,251
6,919
Teladoc
Health,
Inc.
a
1,516,922
Total
11,545,103
Health
Care
Supplies
(1.3%)
61,171
Alcon,
Inc.
a
3,483,688
Total
3,483,688
Health
Care
Technology
(0.1%)
11,207
Deerfield
Healthcare
Technology
Acquisitions
Corporation
a
119,131
2,346
Oak
Street
Health,
Inc.
a
125,370
Total
244,501
Information
Technology
(0.1%)
5,120
BCTG
Acquisition
Corporation
a
55,501
8,724
FS
Development
Corporation
a
97,709
Total
153,210
Life
Sciences
Tools
&
Services
(6.0%)
7,216
Agilent
Technologies,
Inc.
728,383
7,622
Illumina,
Inc.
a
2,355,808
13,973
IQVIA
Holding,
Inc.
a
2,202,564
19,678
Thermo
Fisher
Scientific,
Inc.
8,688,231
Partner
Healthcare
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
328
a
Shares
Common
Stock
(98.4%)
Value
Life
Sciences
Tools
&
Services
(6.0%)
-
continued
123,772
WuXi
AppTec
Company,
Ltd.
b
$
1,789,838
Total
15,764,824
Managed
Health
Care
(12.7%)
21,393
Anthem,
Inc.
5,745,946
45,097
Centene
Corporation
a
2,630,508
16,731
Humana,
Inc.
6,924,794
58,782
UnitedHealth
Group,
Inc.
18,326,464
Total
33,627,712
Pharmaceuticals
(21.3%)
12,086
Apellis
Pharmaceuticals,
Inc.
a
364,634
8,300
AstraZeneca
plc
906,899
86,569
Bristol-Myers
Squibb
Company
5,219,245
16,300
Eisai
Company,
Ltd.
1,488,717
39,285
Eli
Lilly
and
Company
5,814,966
472,505
Hansoh
Pharmaceutical
Group
Company,
Ltd.
a,b
2,309,433
182,000
Hua
Medicine
a,b
117,184
84,284
Johnson
&
Johnson
12,548,202
55,007
Merck
&
Company,
Inc.
4,562,831
13,231
Merck
KGaA
1,928,990
3,585
MyoKardia
,
Inc.
a
488,743
12,798
Nektar
Therapeutics
a
212,319
171,925
Pfizer,
Inc.
6,309,647
6,560
Roche
Holding
AG
2,247,066
8,198
Royalty
Pharma
PLC
344,890
36,364
Sanofi
3,644,124
28,875
Sanofi
ADR
1,448,659
62,500
Wuxi
Biologics
(Cayman),
Inc.
a,b
1,531,754
28,821
Zoetis,
Inc.
4,766,129
Total
56,254,432
Total
Common
Stock
(cost
$182,013,315)
259,622,787
Shares
Short-Term
Investments
(
1.6%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
425,315
0.310%
4,253,149
Total
Short-Term
Investments
(cost
$4,253,769)
4,253,149
Total
Investments
(cost
$186,267,084)
100.0%
$263,875,936
Other
Assets
and
Liabilities,
Net
<0.1%
99,275
Total
Net
Assets
100.0%
$263,975,211
a
Non-income
producing
security.
b
Denotes
securities
sold
under
Rule
144A
of
the
Securities
Act
of
1933,
which
exempts
them
from
registration.
These
securities
may
be
resold
to
other
dealers
in
the
program
or
to
other
qualified
institutional
buyers.
As
of
September
30,
2020,
the
value
of
these
investments
was
$5,748,209
or
2.2%
of
total
net
assets.
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
Partner
Healthcare
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
329
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Partner
Healthcare
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Biotechnology
55,960,797
53,155,537
2,805,260
–
Financials
1,079,943
1,079,943
–
–
Health
Care
Distributors
1,806,545
1,806,545
–
–
Health
Care
Equipment
78,354,932
77,039,850
1,315,082
–
Health
Care
Facilities
1,347,100
1,347,100
–
–
Health
Care
Services
11,545,103
11,545,103
–
–
Health
Care
Supplies
3,483,688
3,483,688
–
–
Health
Care
Technology
244,501
244,501
–
–
Information
Technology
153,210
153,210
–
–
Life
Sciences
Tools
&
Services
15,764,824
13,974,986
1,789,838
–
Managed
Health
Care
33,627,712
33,627,712
–
–
Pharmaceuticals
56,254,432
42,080,265
14,174,167
–
Subtotal
Investments
in
Securities
$259,622,787
$239,538,440
$20,084,347
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
4,253,149
Subtotal
Other
Investments
$4,253,149
Total
Investments
at
Value
$263,875,936
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Partner
Healthcare
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$305
$34,801
$30,851
$4,253
425
1.6%
Total
Affiliated
Short-Term
Investments
305
4,253
1.6
Total
Value
$305
$4,253
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(1)
$(1)
–
$22
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$22
Total
Value
$(1)
$(1)
$–
Real
Estate
Securities
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
330
Shares
Common
Stock
(
99.5%
)
Value
Diversified
REITs
(5.1%)
12,434
American
Assets
Trust,
Inc.
$
299,535
42,667
Cousins
Properties,
Inc.
1,219,850
88,770
Duke
Realty
Corporation
3,275,613
25,274
Spirit
Realty
Capital,
Inc.
852,997
53,106
Store
Capital
Corporation
1,456,698
135,120
VEREIT,
Inc.
878,280
5,484
WP
Carey,
Inc.
357,337
Total
8,340,310
Health
Care
REITs
(8.5%)
29,462
Healthcare
Realty
Trust,
Inc.
887,395
57,925
Healthcare
Trust
of
America,
Inc.
1,506,050
130,703
Healthpeak
Properties,
Inc.
3,548,587
51,544
Medical
Properties
Trust,
Inc.
908,721
18,830
Omega
Healthcare
Investors,
Inc.
563,770
35,476
Physicians
Realty
Trust
635,375
47,498
Ventas,
Inc.
1,993,016
71,570
Welltower
,
Inc.
3,942,791
Total
13,985,705
Hotel
&
Resort
REITs
(2.5%)
127,151
Host
Hotels
&
Resorts,
Inc.
1,371,959
51,182
MGM
Growth
Properties
LLC
1,432,072
36,347
Park
Hotels
&
Resorts,
Inc.
363,107
30,634
RLJ
Lodging
Trust
265,290
5,302
Ryman
Hospitality
Properties
195,114
55,189
Sunstone
Hotel
Investors,
Inc.
438,201
Total
4,065,743
Industrial
REITs
(16.4%)
57,792
Americold
Realty
Trust
2,066,064
4,924
EastGroup
Properties,
Inc.
636,821
37,696
First
Industrial
Realty
Trust,
Inc.
1,500,301
156,250
Prologis,
Inc.
15,721,875
54,214
Rexford
Industrial
Realty,
Inc.
2,480,833
9,603
SBA
Communications
Corporation
3,058,363
25,133
STAG
Industrial,
Inc.
766,305
10,145
Terreno
Realty
Corporation
555,540
Total
26,786,102
Office
REITs
(8.8%)
32,973
Alexandria
Real
Estate
Equities,
Inc.
5,275,680
29,983
Boston
Properties,
Inc.
2,407,635
16,946
Corporate
Office
Properties
Trust
401,959
37,990
Douglas
Emmett,
Inc.
953,549
25,312
Highwoods
Properties,
Inc.
849,724
64,676
Hudson
Pacific
Properties,
Inc.
1,418,345
19,026
JBG
SMITH
Properties
508,755
29,091
Kilroy
Realty
Corporation
1,511,569
14,041
SL
Green
Realty
Corporation
651,081
14,954
Vornado
Realty
Trust
504,099
Total
14,482,396
Real
Estate
Operating
Companies
(0.2%)
20,337
Essential
Properties
Realty
Trust,
Inc.
372,574
Total
372,574
Residential
REITs
(20.1%)
21,262
American
Campus
Communities,
Inc.
742,469
99,111
American
Homes
4
Rent
2,822,681
29,976
Apartment
Investment
&
Management
Company
1,010,791
26,579
AvalonBay
Communities,
Inc.
3,969,308
Shares
Common
Stock
(99.5%)
Value
Residential
REITs
(20.1%)
-
continued
27,931
Camden
Property
Trust
$
2,485,300
58,530
Equity
Lifestyle
Properties,
Inc.
3,587,889
54,613
Equity
Residential
2,803,285
12,785
Essex
Property
Trust,
Inc.
2,567,100
174,246
Invitation
Homes,
Inc.
4,877,146
18,805
Mid-America
Apartment
Communities,
Inc.
2,180,440
26,518
Sun
Communities,
Inc.
3,728,696
63,524
UDR,
Inc.
2,071,518
Total
32,846,623
Retail
REITs
(6.6%)
17,997
Agree
Realty
Corporation
1,145,329
53,491
Brixmor
Property
Group,
Inc.
625,310
9,995
Federal
Realty
Investment
Trust
734,033
37,487
Kimco
Realty
Corporation
422,103
23,880
National
Retail
Properties,
Inc.
824,099
29,469
Realty
Income
Corporation
1,790,242
40,855
Regency
Centers
Corporation
1,553,307
42,506
Simon
Property
Group,
Inc.
2,749,288
31,190
SITE
Centers
Corporation
224,568
25,301
Urban
Edge
Properties
245,926
30,742
Weingarten
Realty
Investors
521,384
Total
10,835,589
Specialized
REITs
(31.3%)
32,365
American
Tower
Corporation
7,823,591
6,880
CoreSite
Realty
Corporation
817,894
25,843
Crown
Castle
International
Corporation
4,302,860
46,586
CubeSmart
1,505,194
32,645
CyrusOne
,
Inc.
2,286,129
33,218
Digital
Realty
Trust,
Inc.
4,875,074
19,524
Equinix
,
Inc.
14,840,778
31,082
Extra
Space
Storage,
Inc.
3,325,463
13,973
Four
Corners
Property
Trust,
Inc.
357,569
22,549
Gaming
and
Leisure
Properties,
Inc.
832,735
8,506
GDS
Holdings,
Ltd.
ADR
a
696,046
10,753
Life
Storage,
Inc.
1,131,968
9,965
National
Storage
Affiliates
Trust
325,955
15,504
Public
Storage,
Inc.
3,453,051
19,694
QTS
Realty
Trust,
Inc.
1,241,116
111,245
VICI
Properties,
Inc.
2,599,796
30,668
Weyerhaeuser
Company
874,651
Total
51,289,870
Total
Common
Stock
(cost
$130,698,103)
163,004,912
Shares
Short-Term
Investments
(
0.2%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
37,857
0.310%
378,571
Total
Short-Term
Investments
(cost
$378,571)
378,571
Total
Investments
(cost
$131,076,674)
99.7%
$163,383,483
Other
Assets
and
Liabilities,
Net
0.3%
494,814
Total
Net
Assets
100.0%
$163,878,297
a
Non-income
producing
security.
Real
Estate
Securities
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
331
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Real
Estate
Securities
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Diversified
REITs
8,340,310
8,340,310
–
–
Health
Care
REITs
13,985,705
13,985,705
–
–
Hotel
&
Resort
REITs
4,065,743
4,065,743
–
–
Industrial
REITs
26,786,102
26,786,102
–
–
Office
REITs
14,482,396
14,482,396
–
–
Real
Estate
Operating
Companies
372,574
372,574
–
–
Residential
REITs
32,846,623
32,846,623
–
–
Retail
REITs
10,835,589
10,835,589
–
–
Specialized
REITs
51,289,870
51,289,870
–
–
Subtotal
Investments
in
Securities
$163,004,912
$163,004,912
$–
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
378,571
Subtotal
Other
Investments
$378,571
Total
Investments
at
Value
$163,383,483
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Real
Estate
Securities
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1,173
$12,434
$13,229
$379
38
0.2%
Total
Affiliated
Short-Term
Investments
1,173
379
0.2
Total
Value
$1,173
$379
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1
$–
–
$5
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$5
Total
Value
$1
$–
$–
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
332
Shares
Common
Stock
(
97.0%
)
Value
Communications
Services
(0.1%)
13,001
ORBCOMM,
Inc.
a
$
44,203
Total
44,203
Consumer
Discretionary
(12.2%)
2,394
Bright
Horizons
Family
Solutions,
Inc.
a
363,984
15,535
Cooper-Standard
Holdings,
Inc.
a
205,218
30,500
Duluth
Holdings,
Inc.
a,b
372,710
4,840
Etsy,
Inc.
a
588,689
4,689
Five
Below,
Inc.
a
595,503
1,315
Lithia
Motors,
Inc.
299,741
6,023
Ollie's
Bargain
Outlet
Holdings,
Inc.
a
526,109
10,066
Planet
Fitness,
Inc.
a
620,267
15,101
Playa
Hotels
and
Resorts
NV
a
63,273
14,381
Red
Rock
Resorts,
Inc.
245,915
7,738
Skyline
Corporation
a
207,146
12,737
Texas
Roadhouse,
Inc.
774,282
3,677
Wingstop,
Inc.
502,462
Total
5,365,299
Consumer
Staples
(3.8%)
2,300
Casey's
General
Stores,
Inc.
408,595
13,136
Celsius
Holdings,
Inc.
a
298,319
23,523
e.l.f.
Beauty,
Inc.
a
432,117
865
Simply
Good
Foods
Company
a
19,073
18,561
Turning
Point
Brands,
Inc.
517,852
Total
1,675,956
Energy
(0.2%)
16,069
Nine
Energy
Service,
Inc.
a
18,158
9,039
Talos
Energy,
Inc.
a
58,302
Total
76,460
Financials
(5.1%)
7,831
Ameris
Bancorp
178,390
6,488
Assured
Guaranty,
Ltd.
139,362
6,569
Essent
Group,
Ltd.
243,119
49,383
Everi
Holdings,
Inc.
a
407,410
5,361
Hamilton
Lane,
Inc.
346,267
2,925
Kemper
Corporation
195,478
7,097
Prosight
Global,
Inc.
a
80,480
8,744
Seacoast
Banking
Corporation
of
Florida
a
157,654
2,369
TMX
Group,
Ltd.
243,634
8,135
Western
Alliance
Bancorp
257,229
Total
2,249,023
Health
Care
(24.7%)
12,518
ACADIA
Pharmaceuticals,
Inc.
a
516,367
4,149
Agios
Pharmaceuticals,
Inc.
a
145,215
2,187
Arena
Pharmaceuticals,
Inc.
a
163,566
1,222
Argenx
SE
ADR
a
320,799
9,809
Axonics
Modulation
Technologies,
Inc.
a,b
500,651
3,768
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
244,958
1,463
Bio-Techne
Corporation
362,429
8,737
Catalent,
Inc.
a
748,411
1,461
Global
Blood
Therapeutics,
Inc.
a
80,560
5,751
Guardant
Health,
Inc.
a
642,847
10,116
Halozyme
Therapeutics,
Inc.
a
265,848
5,599
Inspire
Medical
Systems,
Inc.
a
722,551
6,310
LHC
Group,
Inc.
a
1,341,254
1,863
Ligand
Pharmaceuticals,
Inc.
a,b
177,581
907
Mesa
Laboratories,
Inc.
b
231,067
Shares
Common
Stock
(97.0%)
Value
Health
Care
(24.7%)
-
continued
1,824
MyoKardia,
Inc.
a
$
248,666
9,930
Natera,
Inc.
a
717,343
1,125
Neurocrine
Biosciences,
Inc.
a
108,180
4,070
Nevro
Corporation
a
566,951
11,727
Optinose,
Inc.
a
45,735
3,377
Repligen
Corporation
a
498,243
2,046
Retrophin,
Inc.
a
37,769
909
Sage
Therapeutics,
Inc.
a
55,558
12,066
Silk
Road
Medical,
Inc.
a
810,956
11,691
Tactile
Systems
Technology,
Inc.
a
427,774
841
Teleflex,
Inc.
286,293
1,588
Veeva
Systems,
Inc.
a
446,530
2,475
Zymeworks,
Inc.
a
115,286
Total
10,829,388
Industrials
(17.5%)
11,318
Aerojet
Rocketdyne
Holdings,
Inc.
a
451,475
15,252
Altra
Industrial
Motion
Corporation
563,867
7,783
ASGN,
Inc.
a
494,688
7,565
Chart
Industries,
Inc.
a
531,593
6,392
Forward
Air
Corporation
366,773
4,211
Lincoln
Electric
Holdings,
Inc.
387,580
5,680
Mercury
Systems,
Inc.
a
439,973
31,627
Meritor,
Inc.
a
662,269
7,900
Middleby
Corporation
a,b
708,709
14,180
Ritchie
Brothers
Auctioneers,
Inc.
840,165
4,196
Saia,
Inc.
a
529,283
1,999
Simpson
Manufacturing
Company,
Inc.
194,223
2,614
SiteOne
Landscape
Supply,
Inc.
a
318,777
21,979
Summit
Materials,
Inc.
a
363,533
6,039
Trex
Company,
Inc.
a
432,392
16,038
Willdan
Group,
Inc.
a
409,129
Total
7,694,429
Information
Technology
(28.4%)
7,268
Anaplan,
Inc.
a
454,831
6,515
Avalara,
Inc.
a
829,620
4,816
Bandwidth,
Inc.
a,b
840,729
5,938
Blackline,
Inc.
a
532,223
4,939
Cognex
Corporation
321,529
2,057
Coupa
Software,
Inc.
a
564,112
7,475
Descartes
Systems
Group,
Inc.
a
425,926
7,251
Dolby
Laboratories,
Inc.
480,596
6,700
Endava
plc
ADR
a
423,105
4,394
Euronet
Worldwide,
Inc.
a
400,293
17,034
Eventbrite,
Inc.
a
184,819
6,577
Five9,
Inc.
a
852,905
2,032
Guidewire
Software,
Inc.
a
211,877
7,945
Health
Catalyst,
Inc.
a,b
290,787
3,666
Inphi
Corporation
a
411,509
13,656
Lattice
Semiconductor
Corporation
a
395,478
4,949
Lumentum
Holdings,
Inc.
a
371,818
20,776
Medallia,
Inc.
a,b
569,678
4,684
MKS
Instruments,
Inc.
511,633
3,347
Monolithic
Power
Systems,
Inc.
935,855
5,038
Nova
Measuring
Instruments,
Ltd.
a
262,681
2,619
Novanta,
Inc.
a
275,886
3,180
Proofpoint,
Inc.
a
335,649
5,050
Q2
Holdings,
Inc.
a
460,863
2,642
Rogers
Corporation
a
259,075
13,683
SailPoint
Technologies
Holdings,
Inc.
a
541,436
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
333
Shares
Common
Stock
(97.0%)
Value
Information
Technology
(28.4%)
-
continued
5,411
Workiva,
Inc.
a
$
301,717
Total
12,446,630
Materials
(1.7%)
14,128
Louisiana-Pacific
Corporation
416,917
1,763
Quaker
Chemical
Corporation
316,829
Total
733,746
Real
Estate
(3.3%)
1,389
CoreSite
Realty
Corporation
165,124
20,342
Cushman
and
Wakefield
plc
a
213,794
3,681
FirstService
Corporation
485,487
5,439
NexPoint
Residential
Trust,
Inc.
241,220
7,443
Rexford
Industrial
Realty,
Inc.
340,592
Total
1,446,217
Total
Common
Stock
(cost
$34,103,476)
42,561,351
Shares
Collateral
Held
for
Securities
Loaned
(
6.3%
)
Value
2,761,981
Thrivent
Cash
Management
Trust
2,761,981
Total
Collateral
Held
for
Securities
Loaned
(cost
$2,761,981)
2,761,981
Shares
Registered
Investment
Companies
(
0.5%
)
Value
Unaffiliated (0.5%)
5,694
SPDR
S&P
Regional
Banking
ETF
203,162
Total
203,162
Total
Registered
Investment
Companies
(cost
$209,342)
203,162
Shares
Short-Term
Investments
(
2.6%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
116,482
0.310%
1,164,823
Total
Short-Term
Investments
(cost
$1,164,631)
1,164,823
Total
Investments
(cost
$38,239,430)
106.4%
$46,691,317
Other
Assets
and
Liabilities,
Net
(6.4%)
(2,818,392)
Total
Net
Assets
100.0%
$43,872,925
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Small
Cap
Growth
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
2,700,982
Total
lending
$2,700,982
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$2,761,981
Net
amounts
due
to
counterparty
$60,999
Definitions:
ADR
-
American
Depositary
Receipt,
which
are
certificates
for
an
underlying
foreign
security's
shares
held
by
an
issuing
U.S.
depository
bank.
ETF
-
Exchange
Traded
Fund
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Small
Cap
Growth
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
334
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Small
Cap
Growth
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
44,203
44,203
–
–
Consumer
Discretionary
5,365,299
5,365,299
–
–
Consumer
Staples
1,675,956
1,675,956
–
–
Energy
76,460
76,460
–
–
Financials
2,249,023
2,005,389
243,634
–
Health
Care
10,829,388
10,829,388
–
–
Industrials
7,694,429
7,694,429
–
–
Information
Technology
12,446,630
12,446,630
–
–
Materials
733,746
733,746
–
–
Real
Estate
1,446,217
1,446,217
–
–
Registered
Investment
Companies
Unaffiliated
203,162
203,162
–
–
Subtotal
Investments
in
Securities
$42,764,513
$42,520,879
$243,634
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
1,164,823
Collateral
Held
for
Securities
Loaned
2,761,981
Subtotal
Other
Investments
$3,926,804
Total
Investments
at
Value
$46,691,317
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Small
Cap
Growth
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1,003
$16,143
$15,981
$1,165
116
2.6%
Total
Affiliated
Short-Term
Investments
1,003
1,165
2.6
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
1,532
14,648
13,418
2,762
2,762
6.3
Total
Collateral
Held
for
Securities
Loaned
1,532
2,762
6.3
Total
Value
$2,535
$3,927
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$0
$0
–
$7
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$7
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
5
Total
Affiliated
Income
from
Securities
Loaned,
Net
$5
Total
Value
$0
$0
$–
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
335
Shares
Common
Stock
(
98.4%
)
Value
Communications
Services
(2.2%)
9,136
ATN
International,
Inc.
$
458,079
42,024
Cincinnati
Bell,
Inc.
a
630,360
34,899
Cogent
Communications
Holdings
2,095,685
60,579
Consolidated
Communications
Holdings,
Inc.
a
344,694
47,312
E.W.
Scripps
Company
541,249
107,371
Gannett
Company,
Inc.
139,582
96,703
Iridium
Communications,
Inc.
a
2,473,663
33,448
Meredith
Corporation
438,838
40,171
QuinStreet,
Inc.
a
636,309
24,812
Scholastic
Corporation
520,804
41,337
Shenandoah
Telecommunications
Company
1,836,810
14,512
Spok
Holdings,
Inc.
138,009
191,392
Vonage
Holdings
Corporation
a
1,957,940
Total
12,212,022
Consumer
Discretionary
(14.6%)
51,721
Abercrombie
&
Fitch
Company
720,474
93,924
American
Axle
&
Manufacturing
Holdings,
Inc.
a
541,941
12,269
American
Public
Education,
Inc.
a
345,863
5,276
America's
Car-Mart,
Inc.
a
447,827
15,994
Asbury
Automotive
Group,
Inc.
a
1,558,615
25,002
Barnes
&
Noble
Education,
Inc.
a
64,505
104,506
Bed
Bath
&
Beyond,
Inc.
b
1,565,500
29,601
Big
Lots,
Inc.
1,320,205
18,474
BJ's
Restaurants,
Inc.
543,875
66,059
Bloomin'
Brands,
Inc.
1,008,721
23,927
Boot
Barn
Holdings,
Inc.
a
673,306
37,367
Brinker
International,
Inc.
1,596,318
23,762
Buckle,
Inc.
484,507
32,149
Caleres,
Inc.
307,344
78,079
Callaway
Golf
Company
1,494,432
124,664
Capri
Holdings,
Ltd.
a
2,243,952
17,115
Cato
Corporation
133,839
7,079
Cavco
Industries,
Inc.
a
1,276,415
24,059
Century
Communities,
Inc.
a
1,018,417
34,681
Cheesecake
Factory,
Inc.
b
962,051
99,413
Chico's
FAS,
Inc.
96,679
12,096
Children's
Place,
Inc.
b
342,922
16,327
Chuy's
Holdings,
Inc.
a
319,683
15,987
Conn's,
Inc.
a,b
169,142
41,713
Cooper
Tire
&
Rubber
Company
1,322,302
14,010
Cooper-Standard
Holdings,
Inc.
a
185,072
37,390
Core-Mark
Holding
Company,
Inc.
1,081,693
55,938
Crocs,
Inc.
a
2,390,231
39,347
Dave
&
Buster's
Entertainment,
Inc.
b
596,501
48,738
Designer
Brands,
Inc.
264,647
13,614
Dine
Brands
Global,
Inc.
743,188
23,939
Dorman
Products,
Inc.
a
2,163,607
15,489
El
Pollo
Loco
Holdings,
Inc.
a
250,922
18,073
Ethan
Allen
Interiors,
Inc.
244,708
14,421
Fiesta
Restaurant
Group,
Inc.
a
135,125
38,708
Fossil,
Inc.
a,b
222,184
18,629
Foundation
Building
Materials,
Inc.
a
292,848
45,106
GameStop
Corporation
a,b
460,081
11,593
Genesco,
Inc.
a
249,713
27,077
Gentherm,
Inc.
a
1,107,449
35,859
G-III
Apparel
Group,
Ltd.
a
470,112
14,229
Group
1
Automotive,
Inc.
b
1,257,701
31,119
Guess
?,
Inc.
b
361,603
14,334
Haverty
Furniture
Companies,
Inc.
300,154
13,718
Hibbett
Sports,
Inc.
a,b
538,020
Shares
Common
Stock
(98.4%)
Value
Consumer
Discretionary
(14.6%)
-
continued
18,779
Installed
Building
Products,
Inc.
a
$
1,910,763
23,121
iRobot
Corporation
a,b
1,754,884
38,829
Kontoor
Brands,
Inc.
939,662
38,139
La-Z-Boy,
Inc.
1,206,337
20,857
LCI
Industries
2,216,891
18,307
LGI
Homes,
Inc.
a
2,126,724
21,737
Liquidity
Services,
Inc.
a
162,158
23,924
Lumber
Liquidators
Holdings,
Inc.
a
527,524
41,531
M.D.C.
Holdings,
Inc.
1,956,110
23,668
M/I
Homes,
Inc.
a
1,089,911
257,251
Macy's,
Inc.
b
1,466,331
19,183
Marcus
Corporation
148,285
17,981
MarineMax,
Inc.
a
461,572
31,181
Meritage
Homes
Corporation
a
3,442,071
61,127
Michaels
Companies,
Inc.
a
590,181
10,558
Monarch
Casino
&
Resort,
Inc.
a
470,887
27,600
Monro,
Inc.
1,119,732
15,772
Motorcar
Parts
of
America,
Inc.
a
245,412
13,828
Movado
Group,
Inc.
137,450
43,669
Office
Depot,
Inc.
849,362
13,862
Oxford
Industries,
Inc.
559,470
57,322
Perdoceo
Education
Corporation
a
701,621
16,809
PetMed
Express,
Inc.
b
531,501
12,886
Red
Robin
Gourmet
Burgers,
Inc.
a,b
169,580
20,259
Regis
Corporation
a
124,390
40,169
Rent-A-Center,
Inc.
1,200,651
26,333
Ruth's
Hospitality
Group,
Inc.
291,243
29,486
Shake
Shack,
Inc.
a,b
1,901,257
7,132
Shoe
Carnival,
Inc.
239,493
18,318
Shutterstock,
Inc.
953,269
43,402
Signet
Jewelers,
Ltd.
811,617
22,989
Sleep
Number
Corporation
a
1,124,392
20,034
Sonic
Automotive,
Inc.
804,565
14,574
Stamps.com,
Inc.
a
3,511,605
16,678
Standard
Motor
Products,
Inc.
744,673
64,121
Steven
Madden,
Ltd.
1,250,360
14,507
Sturm,
Ruger
&
Company,
Inc.
887,248
19,180
TechTarget,
Inc.
a
843,153
40,728
Tupperware
Brands
Corporation
a
821,076
12,390
Unifi,
Inc.
a
159,088
11,552
Universal
Electronics,
Inc.
a
435,972
18,279
Vera
Bradley,
Inc.
a
111,685
48,144
Vista
Outdoor,
Inc.
a
971,546
27,943
Winnebago
Industries,
Inc.
1,443,815
67,891
Wolverine
World
Wide,
Inc.
1,754,303
62,047
YETI
Holdings,
Inc.
a
2,811,970
17,291
Zumiez,
Inc.
a
481,036
Total
82,337,220
Consumer
Staples
(3.6%)
25,448
Andersons,
Inc.
487,838
53,205
B&G
Foods,
Inc.
1,477,503
13,731
Calavo
Growers,
Inc.
b
909,953
30,801
Cal-Maine
Foods,
Inc.
a
1,181,834
8,040
Central
Garden
&
Pet
Company
a
321,037
32,194
Central
Garden
&
Pet
Company,
Class
A
a
1,163,491
26,954
Chefs'
Warehouse,
Inc.
a
391,911
3,849
Coca-Cola
Consolidated,
Inc.
926,377
25,164
Fresh
Del
Monte
Produce,
Inc.
576,759
14,642
Inter
Parfums,
Inc.
546,879
12,377
J
&
J
Snack
Foods
Corporation
1,613,837
7,315
John
B.
Sanfilippo
&
Son,
Inc.
551,405
9,755
Medifast,
Inc.
1,604,210
10,939
MGP
Ingredients,
Inc.
434,716
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
336
Shares
Common
Stock
(98.4%)
Value
Consumer
Staples
(3.6%)
-
continued
9,666
National
Beverage
Corporation
a,b
$
657,385
19,314
PriceSmart,
Inc.
1,283,415
5,572
Seneca
Foods
Corporation
a
199,088
29,712
SpartanNash
Company
485,791
45,346
United
Natural
Foods,
Inc.
a,b
674,295
20,306
Universal
Corporation
850,415
9,932
USANA
Health
Sciences,
Inc.
a
731,492
105,500
Vector
Group,
Ltd.
1,022,295
11,331
WD-40
Company
2,145,072
Total
20,236,998
Energy
(2.8%)
106,531
Archrock,
Inc.
573,137
15,375
Bonanza
Creek
Energy,
Inc.
a
289,050
19,584
Bristow
Group,
Inc.
a
416,160
32,958
Callon
Petroleum
Company
a,b
158,858
21,707
CONSOL
Energy,
Inc.
a
96,162
36,885
Core
Laboratories
NV
562,865
27,927
Dorian
LPG,
Ltd.
a
223,695
29,072
Dril-Quip,
Inc.
a
719,823
20,613
Exterran
Corporation
a
85,750
11,424
Geospace
Technologies
Corporation
a
70,600
27,789
Green
Plains,
Inc.
a
430,174
121,804
Gulfport
Energy
Corporation
a
64,203
116,961
Helix
Energy
Solutions
Group,
Inc.
a
281,876
89,119
Helmerich
&
Payne,
Inc.
1,305,593
7,460
Laredo
Petroleum
Holdings,
Inc.
a
73,108
91,069
Matador
Resources
Company
a
752,230
21,880
Matrix
Service
Company
a
182,698
5,324
Nabors
Industries,
Ltd.
b
130,119
75,188
Newpark
Resources,
Inc.
a
78,947
244,105
Oasis
Petroleum,
Inc.
a,b,c
68,349
82,327
Oceaneering
International,
Inc.
a
289,791
50,606
Oil
States
International,
Inc.
a
138,154
33,113
Par
Pacific
Holdings,
Inc.
a
224,175
155,394
Patterson-UTI
Energy,
Inc.
442,873
79,700
PBF
Energy,
Inc.
453,493
82,587
PDC
Energy,
Inc.
a
1,023,666
12,584
Penn
Virginia
Corporation
a,b
123,952
66,930
ProPetro
Holding
Corporation
a
271,736
200,932
QEP
Resources,
Inc.
181,401
212,338
Range
Resources
Corporation
1,405,678
32,580
Renewable
Energy
Group,
Inc.
a
1,740,424
4,523
REX
American
Resources
Corporation
a
296,754
48,162
RPC,
Inc.
a,b
127,148
15,854
SEACOR
Holdings,
Inc.
a
461,034
88,264
SM
Energy
Company
140,340
502,064
Southwestern
Energy
Company
a
1,179,850
19,375
Talos
Energy,
Inc.
a
124,969
61,269
U.S.
Silica
Holdings,
Inc.
183,807
42,443
Warrior
Met
Coal,
Inc.
724,927
Total
16,097,569
Financials
(15.5%)
15,587
Allegiance
Bancshares,
Inc.
364,268
37,984
Ambac
Financial
Group,
Inc.
a
485,056
76,248
American
Equity
Investment
Life
Holding
Company
1,676,694
57,618
Ameris
Bancorp
1,312,538
16,029
AMERISAFE,
Inc.
919,423
112,643
Apollo
Commercial
Real
Estate
Finance,
Inc.
1,014,913
53,640
ARMOUR
Residential
REIT,
Inc.
510,116
42,928
Axos
Financial,
Inc.
a
1,000,652
Shares
Common
Stock
(98.4%)
Value
Financials
(15.5%)
-
continued
36,717
Banc
of
California,
Inc.
$
371,576
15,438
BancFirst
Corporation
630,488
76,618
BankUnited,
Inc.
1,678,700
29,153
Banner
Corporation
940,476
41,772
Berkshire
Hills
Bancorp,
Inc.
422,315
39,832
Blucora,
Inc.
a
375,217
68,157
Boston
Private
Financial
Holdings,
Inc.
376,227
49,823
BrightSphere
Investment
Group
642,717
65,438
Brookline
Bancorp,
Inc.
565,712
104,447
Cadence
Bancorporation
897,200
79,991
Capstead
Mortgage
Corporation
449,549
23,345
Central
Pacific
Financial
Corporation
316,792
13,292
City
Holding
Company
765,752
59,385
Columbia
Banking
System,
Inc.
1,416,332
44,386
Community
Bank
System,
Inc.
2,417,262
24,040
Customers
Bancorp,
Inc.
a
269,248
105,628
CVB
Financial
Corporation
1,756,594
23,573
Dime
Community
Bancshares,
Inc.
266,611
24,965
Donnelley
Financial
Solutions,
Inc.
a
333,532
26,724
Eagle
Bancorp,
Inc.
715,936
21,352
eHealth,
Inc.
a,b
1,686,808
24,271
Employers
Holdings,
Inc.
734,198
25,986
Encore
Capital
Group,
Inc.
a,b
1,002,800
24,967
Enova
International,
Inc.
a
409,209
43,199
EZCORP,
Inc.
a
217,291
25,476
FB
Financial
Corporation
639,957
180,893
First
BanCorp
944,262
81,370
First
Commonwealth
Financial
Corporation
629,804
81,257
First
Financial
Bancorp
975,490
107,700
First
Hawaiian,
Inc.
1,558,419
94,781
First
Midwest
Bancorp,
Inc.
1,021,739
34,941
Flagstar
Bancorp,
Inc.
1,035,302
45,775
Granite
Point
Mortgage
Trust,
Inc.
324,545
45,617
Great
Western
Bancorp,
Inc.
567,932
44,255
Green
Dot
Corporation
a
2,239,746
11,793
Greenhill
&
Company,
Inc.
133,851
25,420
Hanmi
Financial
Corporation
208,698
5,098
HCI
Group,
Inc.
251,280
29,775
Heritage
Financial
Corporation
547,562
18,828
HomeStreet,
Inc.
485,009
102,199
Hope
Bancorp,
Inc.
775,179
34,283
Horace
Mann
Educators
Corporation
1,145,052
27,322
Independent
Bank
Corporation
1,431,126
30,336
Independent
Bank
Group,
Inc.
1,340,245
150,354
Invesco
Mortgage
Capital.
Inc.
407,459
25,334
James
River
Group
Holdings,
Ltd.
1,128,123
17,594
Kinsale
Capital
Group,
Inc.
3,346,027
22,546
KKR
Real
Estate
Finance
Trust,
Inc.
372,685
28,713
Meta
Financial
Group,
Inc.
551,864
60,280
Mr.
Cooper
Group,
Inc.
a
1,345,450
25,347
National
Bank
Holdings
Corporation
665,359
36,162
NBT
Bancorp,
Inc.
969,865
313,220
New
York
Mortgage
Trust,
Inc.
798,711
70,319
NMI
Holdings,
Inc.
a
1,251,678
39,646
Northfield
Bancorp,
Inc.
361,572
105,975
Northwest
Bancshares,
Inc.
974,970
42,572
OFG
Bancorp
530,447
136,893
Old
National
Bancorp
1,719,376
78,235
Pacific
Premier
Bancorp,
Inc.
1,575,653
17,950
Palomar
Holdings,
Inc.
a
1,871,108
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
337
Shares
Common
Stock
(98.4%)
Value
Financials
(15.5%)
-
continued
11,759
Park
National
Corporation
b
$
963,768
82,317
PennyMac
Mortgage
Investment
Trust
1,322,834
11,391
Piper
Sandler
Companies
831,543
37,793
PRA
Group,
Inc.
a
1,509,830
11,244
Preferred
Bank
361,157
44,684
ProAssurance
Corporation
698,858
60,669
Provident
Financial
Services,
Inc.
740,162
34,125
Ready
Capital
Corporation
382,200
95,311
Redwood
Trust,
Inc.
716,739
32,547
S&T
Bancorp,
Inc.
575,756
11,874
Safety
Insurance
Group,
Inc.
820,375
43,939
Seacoast
Banking
Corporation
of
Florida
a
792,220
38,870
ServisFirst
Bancshares,
Inc.
1,322,746
90,394
Simmons
First
National
Corporation
1,433,197
26,021
Southside
Bancshares,
Inc.
635,693
22,162
Stewart
Information
Services
Corporation
969,144
13,490
StoneX
Group,
Inc.
a
690,148
67,687
Third
Point
Reinsurance,
Ltd.
a
470,425
10,019
Tompkins
Financial
Corporation
569,179
18,752
Triumph
Bancorp,
Inc.
a
583,937
26,905
Trupanion,
Inc.
a,b
2,122,805
79,961
TrustCo
Bank
Corporation
417,396
71,701
United
Community
Banks,
Inc.
1,213,898
17,798
United
Fire
Group,
Inc.
361,655
17,269
United
Insurance
Holdings
Corporation
104,650
24,035
Universal
Insurance
Holdings,
Inc.
332,644
41,167
Veritex
Holdings,
Inc.
701,074
5,974
Virtus
Investment
Partners,
Inc.
828,295
54,033
Waddell
&
Reed
Financial,
Inc.
b
802,390
23,986
Walker
&
Dunlop,
Inc.
1,271,258
22,332
Westamerica
Bancorporation
1,213,744
93,206
WisdomTree
Investments,
Inc.
298,259
3,753
World
Acceptance
Corporation
a,b
396,129
Total
87,521,855
Health
Care
(13.1%)
12,340
Addus
HomeCare
Corporation
a
1,166,253
135,131
Allscripts
Healthcare
Solutions,
Inc.
a
1,099,966
25,159
AMAG
Pharmaceuticals,
Inc.
a
236,495
38,962
AMN
Healthcare
Services,
Inc.
a
2,277,719
30,319
Amphastar
Pharmaceuticals,
Inc.
a
568,481
31,404
AngioDynamics,
Inc.
a
378,732
7,947
ANI
Pharmaceuticals,
Inc.
a
224,185
11,780
Anika
Therapeutics,
Inc.
a
416,894
28,346
Biotelemetry,
Inc.
a
1,292,011
32,893
Cardiovascular
Systems,
Inc.
a
1,294,340
52,150
Coherus
Biosciences,
Inc.
a,b
956,431
93,235
Community
Health
Systems,
Inc.
a
393,452
10,469
Computer
Programs
and
Systems,
Inc.
289,049
23,691
CONMED
Corporation
1,863,771
86,237
Corcept
Therapeutics,
Inc.
a
1,500,955
7,583
CorVel
Corporation
a
647,816
81,392
Covetrus,
Inc.
a
1,985,965
28,969
Cross
Country
Healthcare,
Inc.
a
188,009
31,391
CryoLife,
Inc.
a
579,792
14,617
Cutera,
Inc.
a
277,285
58,462
Cytokinetics,
Inc.
a
1,265,702
10,042
Eagle
Pharmaceuticals,
Inc.
a
426,584
14,813
Enanta
Pharmaceuticals,
Inc.
a
678,139
Shares
Common
Stock
(98.4%)
Value
Health
Care
(13.1%)
-
continued
190,560
Endo
International
plc
a
$
628,848
41,911
Ensign
Group,
Inc.
2,391,442
9,778
Fulgent
Genetics,
Inc.
a,b
391,511
37,044
Glaukos
Corporation
a,b
1,834,419
31,633
Hanger,
Inc.
a
500,434
21,226
HealthStream,
Inc.
a
426,006
7,361
Heska
Corporation
a
727,193
73,398
HMS
Holdings
Corporation
a
1,757,882
52,125
Innoviva,
Inc.
a
544,706
15,186
Inogen,
Inc.
a
440,394
27,238
Integer
Holdings
Corporation
a
1,607,314
28,535
Invacare
Corporation
214,583
28,348
Lannett
Company,
Inc.
a
173,206
55,400
Lantheus
Holdings,
Inc.
a
701,918
13,921
LeMaitre
Vascular,
Inc.
452,850
35,752
Luminex
Corporation
938,490
18,678
Magellan
Health
Services,
Inc.
a
1,415,419
35,541
Meridian
Bioscience,
Inc.
a
603,486
40,486
Merit
Medical
Systems,
Inc.
a
1,761,141
4,020
Mesa
Laboratories,
Inc.
b
1,024,135
98,644
Momenta
Pharmaceuticals,
Inc.
a
5,176,837
61,948
Myriad
Genetics,
Inc.
a
807,802
28,085
Natus
Medical,
Inc.
a
481,096
43,973
Neogen
Corporation
a
3,440,887
91,568
NeoGenomics,
Inc.
a
3,377,944
45,883
NextGen
Healthcare,
Inc.
a
584,550
35,458
Omnicell,
Inc.
a
2,647,294
59,335
OraSure
Technologies,
Inc.
a
722,107
16,026
Orthifix
Medical,
Inc.
a
499,050
52,886
Owens
&
Minor,
Inc.
1,327,968
35,441
Pacira
Pharmaceuticals,
Inc.
a
2,130,713
20,881
Pennant
Group,
Inc.
a
805,171
16,823
Phibro
Animal
Health
Corporation
292,720
10,136
Providence
Service
Corporation
a
941,736
95,836
R1
RCM,
Inc.
a
1,643,587
35,495
RadNet,
Inc.
a
544,848
24,765
REGENXBIO,
Inc.
a
681,533
88,873
Select
Medical
Holdings
Corporation
a
1,850,336
120,840
Spectrum
Pharmaceuticals,
Inc.
a
493,027
43,668
Supernus
Pharmaceuticals,
Inc.
a
910,041
11,314
Surmodics,
Inc.
a
440,228
17,325
Tabula
Rasa
HealthCare,
Inc.
a,b
706,340
16,098
Tactile
Systems
Technology,
Inc.
a
589,026
31,004
Tivity
Health,
Inc.
a
434,676
10,649
U.S.
Physical
Therapy,
Inc.
925,185
45,402
Vanda
Pharmaceuticals,
Inc.
a
438,583
32,385
Varex
Imaging
Corporation
a
411,937
47,465
Xencor,
Inc.
a
1,841,167
16,116
Zynex,
Inc.
a,b
281,224
Total
73,971,016
Industrials
(18.2%)
33,801
AAON,
Inc.
2,036,510
27,516
AAR
Corporation
517,301
55,278
ABM
Industries,
Inc.
2,026,491
25,515
Aegion
Corporation
a
360,527
60,628
Aerojet
Rocketdyne
Holdings,
Inc.
a
2,418,451
18,189
Aerovironment,
Inc.
a
1,091,522
8,165
Alamo
Group,
Inc.
882,065
25,472
Albany
International
Corporation
1,261,119
10,774
Allegiant
Travel
Company
1,290,725
14,090
American
Woodmark
Corporation
a
1,106,629
21,855
Apogee
Enterprises,
Inc.
467,041
32,099
Applied
Industrial
Technologies,
Inc.
1,768,655
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
338
Shares
Common
Stock
(98.4%)
Value
Industrials
(18.2%)
-
continued
21,099
ArcBest
Corporation
$
655,335
80,490
Arconic
Corporation
a
1,533,335
40,083
Arcosa,
Inc.
1,767,259
18,742
Astec
Industries,
Inc.
1,016,754
21,672
Atlas
Air
Worldwide
Holdings,
Inc.
a
1,319,825
21,721
AZZ,
Inc.
741,121
38,547
Barnes
Group,
Inc.
1,377,670
40,151
Brady
Corporation
1,606,843
29,216
Chart
Industries,
Inc.
a
2,053,008
16,581
CIRCOR
International,
Inc.
a
453,490
30,248
Comfort
Systems
USA,
Inc.
1,558,074
25,978
Cubic
Corporation
1,511,140
34,708
Deluxe
Corporation
893,037
13,499
DXP
Enterprises,
Inc.
a
217,739
22,065
Echo
Global
Logistics,
Inc.
a
568,615
17,108
Encore
Wire
Corporation
794,153
49,560
Enerpac
Tool
Group
Corporation
a
932,224
17,011
EnPro
Industries,
Inc.
959,591
21,590
ESCO
Technologies,
Inc.
1,739,290
42,804
Exponent,
Inc.
3,083,172
50,102
Federal
Signal
Corporation
1,465,484
9,086
Forrester
Research,
Inc.
a
297,930
23,201
Forward
Air
Corporation
1,331,273
31,790
Franklin
Electric
Company,
Inc.
1,870,206
26,885
Gibraltar
Industries,
Inc.
a
1,751,289
35,423
GMS,
Inc.
a
853,694
38,757
Granite
Construction,
Inc.
682,511
27,115
Greenbrier
Companies,
Inc.
797,181
37,234
Griffon
Corporation
727,552
65,426
Harsco
Corporation
a
910,076
38,140
Hawaiian
Holdings,
Inc.
491,625
41,158
Heartland
Express,
Inc.
765,539
16,038
Heidrick
&
Struggles
International,
Inc.
315,147
61,966
Hillenbrand,
Inc.
1,757,356
27,791
Hub
Group,
Inc.
a
1,394,969
15,971
Insteel
Industries,
Inc.
298,658
48,547
Interface,
Inc.
297,108
26,308
John
Bean
Technologies
Corporation
2,417,442
22,939
Kaman
Corporation
893,933
27,892
Kelly
Services,
Inc.
475,280
46,652
Korn
Ferry
1,352,908
8,984
Lindsay
Corporation
868,573
13,991
Lydall,
Inc.
a
231,411
48,665
Marten
Transport,
Ltd.
794,213
35,718
Matson,
Inc.
1,431,935
25,924
Matthews
International
Corporation
579,661
59,950
Meritor,
Inc.
a
1,255,353
24,878
Moog,
Inc.
1,580,499
47,091
Mueller
Industries,
Inc.
1,274,282
13,855
MYR
Group,
Inc.
a
515,129
4,308
National
Presto
Industries,
Inc.
352,653
90,696
NOW,
Inc.
a
411,760
18,277
Patrick
Industries,
Inc.
1,051,293
48,891
PGT
Innovations,
Inc.
a
856,570
143,517
Pitney
Bowes,
Inc.
762,075
7,319
Powell
Industries,
Inc.
176,607
22,145
Proto
Labs,
Inc.
a
2,867,778
27,201
Quanex
Building
Products
Corporation
501,586
59,420
R.R.
Donnelley
&
Sons
Company
86,753
29,722
Raven
Industries,
Inc.
639,617
102,348
Resideo
Technologies,
Inc.
a
1,125,828
25,054
Resources
Connection,
Inc.
289,374
21,682
Saia,
Inc.
a
2,734,967
Shares
Common
Stock
(98.4%)
Value
Industrials
(18.2%)
-
continued
36,049
Simpson
Manufacturing
Company,
Inc.
$
3,502,521
41,609
SkyWest,
Inc.
1,242,445
37,056
SPX
Corporation
a
1,718,657
35,179
SPX
FLOW,
Inc.
a
1,506,365
10,266
Standex
International
Corporation
607,747
25,396
Team,
Inc.
a
139,678
15,308
Tennant
Company
923,991
41,424
Titan
International,
Inc.
119,715
43,178
Triumph
Group,
Inc.
281,089
29,901
TrueBlue,
Inc.
a
463,166
50,720
UFP
Industries,
Inc.
2,866,187
12,644
UniFirst
Corporation
2,394,394
26,128
US
Ecology,
Inc.
853,602
10,280
Veritiv
Corporation
a
130,145
16,916
Viad
Corporation
352,360
17,392
Vicor
Corporation
a
1,351,880
43,875
Wabash
National
Corporation
524,745
22,759
Watts
Water
Technologies,
Inc.
2,279,314
Total
102,801,790
Information
Technology
(13.7%)
100,443
3D
Systems
Corporation
a,b
493,175
86,429
8x8,
Inc.
a
1,343,971
39,766
ADTRAN,
Inc.
407,800
31,783
Advanced
Energy
Industries,
Inc.
a
2,000,422
16,845
Agilysys,
Inc.
a
406,975
36,948
Alarm.com
Holdings,
Inc.
a
2,041,377
17,373
Applied
Optoelectronics,
Inc.
a,b
195,446
64,790
Arlo
Technologies,
Inc.
a
340,795
27,749
Axcelis
Technologies,
Inc.
a
610,478
24,144
Badger
Meter,
Inc.
1,578,293
8,489
Bel
Fuse,
Inc.
90,663
30,233
Benchmark
Electronics,
Inc.
609,195
32,094
Bottomline
Technologies
(de),
Inc.
a
1,353,083
61,161
Brooks
Automation,
Inc.
2,829,308
28,495
CalAmp
Corporation
a
204,879
29,504
Cardtronics,
Inc.
a
584,179
18,374
CEVA,
Inc.
a
723,384
34,712
Cohu,
Inc.
596,352
20,507
Comtech
Telecommunications
Corporation
287,098
27,433
CSG
Systems
International,
Inc.
1,123,381
26,756
CTS
Corporation
589,435
30,335
Daktronics,
Inc.
120,127
64,407
Diebold
Nixdorf,
Inc.
a
492,069
24,076
Digi
International,
Inc.
a
376,308
34,812
Diodes,
Inc.
a
1,965,137
18,134
DSP
Group,
Inc.
a
239,006
19,481
Ebix,
Inc.
401,309
11,238
ePlus,
Inc.
a
822,622
49,458
EVERTEC,
Inc.
1,716,687
28,338
ExlService
Holdings,
Inc.
a
1,869,458
101,612
Extreme
Networks,
Inc.
a
408,480
30,468
Fabrinet
a
1,920,398
14,745
FARO
Technologies,
Inc.
a
899,150
63,896
FormFactor,
Inc.
a
1,592,927
121,835
Glu
Mobile,
Inc.
a
935,084
80,839
Harmonic,
Inc.
a
451,082
19,030
Ichor
Holdings,
Ltd.
a
410,477
29,080
Insight
Enterprises,
Inc.
a
1,645,346
33,443
Itron,
Inc.
a
2,031,328
75,987
Knowles
Corporation
a
1,132,206
51,277
Kulicke
and
Soffa
Industries,
Inc.
1,148,605
51,030
LivePerson,
Inc.
a
2,653,050
22,509
ManTech
International
Corporation
1,550,420
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
339
Shares
Common
Stock
(98.4%)
Value
Information
Technology
(13.7%)
-
continued
55,170
MaxLinear,
Inc.
a
$
1,282,151
31,119
Methode
Electronics,
Inc.
886,892
6,003
MicroStrategy,
Inc.
a
903,812
15,984
MTS
Systems
Corporation
305,454
24,796
NETGEAR,
Inc.
a
764,213
55,573
NIC,
Inc.
1,094,788
28,101
OneSpan,
Inc.
a
588,997
40,477
Onto
Innovation,
Inc.
a
1,205,405
13,942
OSI
Systems,
Inc.
a
1,082,039
15,548
Park
Aerospace
Corporation
169,784
9,099
PC
Connection,
Inc.
373,605
24,226
PDF
Solutions,
Inc.
a
453,268
27,570
Perficient,
Inc.
a
1,178,342
54,507
Photronics,
Inc.
a
542,890
30,744
Plantronics,
Inc.
b
364,009
24,250
Plexus
Corporation
a
1,712,778
49,564
Power
Integrations,
Inc.
2,745,846
37,343
Progress
Software
Corporation
1,369,741
94,315
Rambus,
Inc.
a
1,291,172
15,485
Rogers
Corporation
a
1,518,459
56,189
Sanmina
Corporation
a
1,519,912
21,029
ScanSource,
Inc.
a
417,005
12,548
Simulations
Plus,
Inc.
945,617
11,447
SMART
Global
Holdings,
Inc.
a
312,961
29,128
SPS
Commerce,
Inc.
a
2,268,197
33,213
Sykes
Enterprises,
Inc.
a
1,136,217
15,113
TTEC
Holdings,
Inc.
824,414
82,300
TTM
Technologies,
Inc.
a
939,043
33,084
Ultra
Clean
Holdings,
Inc.
a
709,983
52,253
Unisys
Corporation
a
557,540
41,143
Veeco
Instruments,
Inc.
a
480,139
189,318
Viavi
Solutions,
Inc.
a
2,220,700
23,576
Virtusa
Corporation
a
1,158,996
89,943
Xperi
Holding
Corporation
1,033,445
Total
77,548,779
Materials
(4.8%)
23,242
AdvanSix,
Inc.
a
299,357
105,000
Allegheny
Technologies,
Inc.
a
915,600
22,021
American
Vanguard
Corporation
289,356
26,822
Balchem
Corporation
2,618,632
32,502
Boise
Cascade
Company
1,297,480
39,757
Carpenter
Technology
Corporation
721,987
41,552
Century
Aluminum
Company
a
295,850
13,741
Clearwater
Paper
Corporation
a
521,334
331,009
Cleveland-Cliffs,
Inc.
b
2,125,078
12,246
DMC
Global,
Inc.
403,383
68,201
Ferro
Corporation
a
845,692
21,400
FutureFuel
Corporation
243,318
39,936
GCP
Applied
Technologies,
Inc.
a
836,659
42,759
H.B.
Fuller
Company
1,957,507
7,891
Hawkins,
Inc.
363,775
10,412
Haynes
International,
Inc.
177,941
20,366
Innospec,
Inc.
1,289,575
13,111
Kaiser
Aluminum
Corporation
702,619
17,451
Koppers
Holdings,
Inc.
a
364,900
26,420
Kraton
Performance
Polymers,
Inc.
a
470,804
121,270
Livent
Corporation
a,b
1,087,792
16,851
Materion
Corporation
876,758
32,770
Mercer
International,
Inc.
216,282
29,681
Myers
Industries,
Inc.
392,680
13,932
Neenah,
Inc.
522,032
7,530
Olympic
Steel,
Inc.
85,541
36,789
PH
Glatfelter
Company
506,585
Shares
Common
Stock
(98.4%)
Value
Materials
(4.8%)
-
continued
10,922
Quaker
Chemical
Corporation
$
1,962,793
52,530
Rayonier
Advanced
Materials,
Inc.
a
168,096
25,991
Schweitzer-Mauduit
International,
Inc.
789,866
17,656
Stepan
Company
1,924,504
68,630
SunCoke
Energy,
Inc.
234,715
31,368
TimkenSteel
Corporation
a
111,356
21,400
Tredegar
Corporation
318,218
31,732
Trinseo
SA
813,608
13,133
US
Concrete,
Inc.
a
381,382
Total
27,133,055
Real
Estate
(8.1%)
71,530
Acadia
Realty
Trust
751,065
44,652
Agree
Realty
Corporation
2,841,653
59,990
Alexander
&
Baldwin,
Inc.
672,488
41,344
American
Assets
Trust,
Inc.
995,977
48,038
Armada
Hoffler
Properties,
Inc.
444,832
141,437
Brandywine
Realty
Trust
1,462,459
79,384
CareTrust
REIT,
Inc.
1,412,638
38,941
Chatham
Lodging
Trust
296,730
17,713
Community
Healthcare
Trust,
Inc.
828,260
99,196
CoreCivic,
Inc.
793,568
165,436
DiamondRock
Hospitality
Company
838,760
197,305
Diversified
Healthcare
Trust
694,514
66,075
Easterly
Government
Properties,
Inc.
1,480,741
84,422
Essential
Properties
Realty
Trust,
Inc.
1,546,611
58,322
Four
Corners
Property
Trust,
Inc.
1,492,460
80,095
Franklin
Street
Properties
Corporation
293,148
29,193
Getty
Realty
Corporation
759,310
74,198
Global
Net
Lease,
Inc.
1,179,748
30,094
Hersha
Hospitality
Trust
166,721
78,561
Independence
Realty
Trust,
Inc.
910,522
54,071
Industrial
Logistics
Properties
Trust
1,182,533
17,993
Innovative
Industrial
Properties,
Inc.
2,233,111
10,636
Investors
Real
Estate
Trust
693,148
62,307
iSTAR
Financial,
Inc.
735,846
69,831
Kite
Realty
Group
Trust
808,643
229,502
Lexington
Realty
Trust
2,398,296
32,540
LTC
Properties,
Inc.
1,134,344
71,456
Mack-Cali
Realty
Corporation
901,775
19,892
Marcus
and
Millichap,
Inc.
a
547,428
51,336
National
Storage
Affiliates
Trust
1,679,201
18,134
NexPoint
Residential
Trust,
Inc.
804,243
39,990
Office
Properties
Income
Trust
828,593
15,028
RE/MAX
Holdings,
Inc.
491,866
95,718
Realogy
Holdings
Corporation
a
903,578
97,785
Retail
Opportunity
Investments
Corporation
1,018,431
177,655
Retail
Properties
of
America,
Inc.
1,032,176
67,119
RPT
Realty
365,127
11,443
Safehold,
Inc.
710,610
10,580
Saul
Centers,
Inc.
281,216
124,949
SITE
Centers
Corporation
899,633
25,877
St.
Joe
Company
a
533,842
87,642
Summit
Hotel
Properties,
Inc.
453,986
77,506
Tanger
Factory
Outlet
Centers,
Inc.
467,361
160,986
Uniti
Group,
Inc.
1,695,987
10,619
Universal
Health
Realty
Income
Trust
605,177
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
340
/
Shares
Common
Stock
(98.4%)
Value
Real
Estate
(8.1%)
-
continued
24,871
Urstadt
Biddle
Properties,
Inc.
$
228,813
156,387
Washington
Prime
Group,
Inc.
101,245
68,281
Washington
REIT
1,374,496
33,005
Whitestone
REIT
198,030
94,304
Xenia
Hotels
&
Resorts,
Inc.
827,989
Total
45,998,929
Utilities
(1.8%)
30,584
American
States
Water
Company
2,292,271
56,325
Avista
Corporation
1,921,809
40,960
California
Water
Service
Group
1,779,712
13,677
Chesapeake
Utilities
Corporation
1,152,971
25,329
Northwest
Natural
Holding
Company
1,149,683
83,406
South
Jersey
Industries,
Inc.
1,607,234
Total
9,903,680
Total
Common
Stock
(cost
$545,579,452)
555,762,913
Shares
Collateral
Held
for
Securities
Loaned
(
4.5%
)
Value
25,629,943
Thrivent
Cash
Management
Trust
25,629,943
Total
Collateral
Held
for
Securities
Loaned
(cost
$25,629,943)
25,629,943
Shares
Registered
Investment
Companies
(
1.5%
)
Value
Unaffiliated (1.5%)
118,324
iShares
Core
S&P
Small-Cap
ETF
8,309,895
Total
8,309,895
Total
Registered
Investment
Companies
(cost
$6,577,175)
8,309,895
Shares
or
Principal
Amount
Short-Term
Investments
(
0.3%
)
Value
Federal
Home
Loan
Bank
Discount
Notes
100,000
0.070%,
10/14/2020
d,e
99,998
Thrivent
Core
Short-Term
Reserve
Fund
142,012
0.310%
1,420,123
Total
Short-Term
Investments
(cost
$1,520,121)
1,520,121
Total
Investments
(cost
$579,306,691)
104.7%
$591,222,872
Other
Assets
and
Liabilities,
Net
(4.7%)
(26,713,559)
Total
Net
Assets
100.0%
$564,509,313
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
c
In
bankruptcy. Interest
is
being
accrued
per
the
bankruptcy
agreement
terms.
d
The
interest
rate
shown
reflects
the
yield,
coupon
rate
or
the
discount
rate
at
the
date
of
purchase.
e
All
or
a
portion
of
the
security
is
held
on
deposit
with
the
counterparty
and
pledged
as
the
initial
margin
deposit
for
open
futures
contracts.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Small
Cap
Index
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
24,707,211
Total
lending
$24,707,211
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$25,629,943
Net
amounts
due
to
counterparty
$922,732
Definitions:
ETF
-
Exchange
Traded
Fund
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
341
Reference
Description:
CME
-
Chicago
Mercantile
Exchange
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Small
Cap
Index
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
12,212,022
12,212,022
–
–
Consumer
Discretionary
82,337,220
82,337,220
–
–
Consumer
Staples
20,236,998
20,236,998
–
–
Energy
16,097,569
16,097,569
–
–
Financials
87,521,855
87,521,855
–
–
Health
Care
73,971,016
73,971,016
–
–
Industrials
102,801,790
102,801,790
–
–
Information
Technology
77,548,779
77,548,779
–
–
Materials
27,133,055
27,133,055
–
–
Real
Estate
45,998,929
45,998,929
–
–
Utilities
9,903,680
9,903,680
–
–
Registered
Investment
Companies
Unaffiliated
8,309,895
8,309,895
–
–
Short-Term
Investments
99,998
–
99,998
–
Subtotal
Investments
in
Securities
$564,172,806
$564,072,808
$99,998
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
1,420,123
Collateral
Held
for
Securities
Loaned
25,629,943
Subtotal
Other
Investments
$27,050,066
Total
Investments
at
Value
$591,222,872
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Other
Financial
Instruments
Total
Level
1
Level
2
Level
3
Asset
Derivatives
Futures
Contracts
7,428
7,428
–
–
Total
Asset
Derivatives
$7,428
$7,428
$–
$–
The
following
table
presents
Small
Cap
Index
Portfolio's
futures
contracts
held
as
of
September
30,
2020.
Investments
and/or
cash
totaling
$99,998
were
pledged
as
the
initial
margin
deposit
for
these
contracts.
Futures
Contracts
Description
Number
of
Contracts
Long/(Short)
Expiration
Date
Notional
Principal
Amount
Value
and
Unrealized
CME
E-mini
Russell
2000
Index
10
December
2020
$
744,772
$
7,428
Total
Futures
Long
Contracts
$
744,772
$
7,428
Total
Futures
Contracts
$
744,772
$7,428
Small
Cap
Index
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
342
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Small
Cap
Index
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$628
$57,180
$56,389
$1,420
142
0.3%
Total
Affiliated
Short-Term
Investments
628
1,420
0.3
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
31,813
148,110
154,293
25,630
25,630
4.5
Total
Collateral
Held
for
Securities
Loaned
31,813
25,630
4.5
Total
Value
$32,441
$27,050
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$1
$–
–
$6
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$6
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
218
Total
Affiliated
Income
from
Securities
Loaned,
Net
$218
Total
Value
$1
$–
$–
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
343
Shares
Common
Stock
(
97.3%
)
Value
Communications
Services
(1.7%)
615,854
QuinStreet,
Inc.
a
$
9,755,127
Total
9,755,127
Consumer
Discretionary
(9.8%)
206,319
Cedar
Fair,
LP
5,791,374
328,022
Cooper-Standard
Holdings,
Inc.
a
4,333,171
175,409
Crocs,
Inc.
a
7,495,227
26,730
Five
Below,
Inc.
a
3,394,710
186,662
Leggett
&
Platt,
Inc.
7,684,875
69,848
Miller
Industries,
Inc.
2,135,253
70,386
Sleep
Number
Corporation
a
3,442,579
267,255
Stoneridge,
Inc.
a
4,909,474
169,046
Texas
Roadhouse,
Inc.
10,276,306
191,535
Zumiez,
Inc.
a
5,328,504
Total
54,791,473
Consumer
Staples
(4.0%)
799,796
Cott
Corporation
b
11,357,103
53,576
John
B.
Sanfilippo
&
Son,
Inc.
4,038,559
252,042
Turning
Point
Brands,
Inc.
7,031,972
Total
22,427,634
Energy
(2.8%)
442,165
Helmerich
&
Payne,
Inc.
6,477,717
297,616
Nine
Energy
Service,
Inc.
a
336,306
227,316
SEACOR
Holdings,
Inc.
a
6,610,349
445,356
WPX
Energy,
Inc.
a
2,182,245
Total
15,606,617
Financials
(20.9%)
254,099
Air
Lease
Corporation
7,475,593
345,973
Assured
Guaranty,
Ltd.
7,431,500
186,909
Bank
of
N.T.
Butterfield
&
Son,
Ltd.
4,164,333
473,849
Bridgewater
Bancshares,
Inc.
a
4,496,827
40,360
Cohen
&
Steers,
Inc.
2,249,666
259,473
Columbia
Banking
System,
Inc.
6,188,431
98,623
Evercore,
Inc.
6,455,862
643,054
Everi
Holdings,
Inc.
a
5,305,195
267,380
First
Interstate
BancSystem,
Inc.
8,516,053
87,226
Glacier
Bancorp,
Inc.
2,795,593
298,183
Heartland
Financial
USA,
Inc.
8,943,999
601,487
Heritage
Commerce
Corporation
4,002,896
40,919
Houlihan
Lokey,
Inc.
2,416,267
58,324
Kemper
Corporation
3,897,793
80,925
Primerica,
Inc.
9,155,855
235,613
Santander
Consumer
USA
Holdings,
Inc.
4,285,800
289,936
Seacoast
Banking
Corporation
of
Florida
a
5,227,546
52,118
Selective
Insurance
Group,
Inc.
2,683,556
48,635
State
Auto
Financial
Corporation
669,218
372,700
Synovus
Financial
Corporation
7,890,059
276,160
Triumph
Bancorp,
Inc.
a
8,599,622
149,516
Western
Alliance
Bancorp
4,727,696
Total
117,579,360
Health
Care
(9.3%)
140,763
AMN
Healthcare
Services,
Inc.
a
8,229,005
73,769
Biohaven
Pharmaceutical
Holding
Company,
Ltd.
a
4,795,723
234,393
Halozyme
Therapeutics,
Inc.
a
6,159,848
61,867
LHC
Group,
Inc.
a
13,150,449
291,612
Optinose,
Inc.
a
1,137,287
23,919
PerkinElmer,
Inc.
3,002,074
177,946
Syneos
Health,
Inc.
a
9,459,609
Shares
Common
Stock
(97.3%)
Value
Health
Care
(9.3%)
-
continued
170,169
Tactile
Systems
Technology,
Inc.
a
$
6,226,484
Total
52,160,479
Industrials
(18.4%)
81,347
AGCO
Corporation
6,041,642
173,303
Altra
Industrial
Motion
Corporation
6,407,012
106,865
ASGN,
Inc.
a
6,792,339
101,094
Curtiss-Wright
Corporation
9,428,026
58,856
Encore
Wire
Corporation
2,732,096
101,515
Forward
Air
Corporation
5,824,931
154,011
Helios
Technologies,
Inc.
5,606,000
90,281
Lincoln
Electric
Holdings,
Inc.
8,309,463
150,378
Manpower,
Inc.
11,027,219
422,685
Meritor,
Inc.
a
8,851,024
72,026
Middleby
Corporation
a,b
6,461,452
89,392
NAPCO
Security
Technologies,
Inc.
a
2,100,712
353,646
Raven
Industries,
Inc.
7,610,462
95,179
Ritchie
Brothers
Auctioneers,
Inc.
5,639,356
53,594
Saia,
Inc.
a
6,760,347
31,756
Valmont
Industries,
Inc.
3,943,460
Total
103,535,541
Information
Technology
(14.4%)
67,174
Advanced
Energy
Industries,
Inc.
a
4,227,931
271,372
Agilysys,
Inc.
a
6,556,347
72,766
Blackline,
Inc.
a
6,522,017
497,719
Change
Healthcare,
Inc.
a
7,221,903
125,397
Ciena
Corporation
a
4,977,007
142,359
Computer
Services,
Inc.
8,826,258
84,445
Dolby
Laboratories,
Inc.
5,597,015
178,856
Lattice
Semiconductor
Corporation
a
5,179,670
32,221
Littelfuse,
Inc.
5,714,072
226,662
National
Instruments
Corporation
8,091,833
196,842
Nuance
Communications,
Inc.
a
6,533,186
81,789
Plexus
Corporation
a
5,776,757
100,931
Workiva,
Inc.
a
5,627,913
Total
80,851,909
Materials
(7.0%)
607,115
Element
Solutions,
Inc.
a
6,380,779
1,350,928
Ivanhoe
Mines,
Ltd.
a
4,910,436
373,155
Louisiana-Pacific
Corporation
11,011,804
107,524
UFP
Technologies,
Inc.
a
4,453,644
80,015
United
States
Lime
&
Minerals,
Inc.
7,209,351
129,741
W.
R.
Grace
&
Company
5,227,265
Total
39,193,279
Real
Estate
(6.9%)
52,162
Agree
Realty
Corporation
3,319,590
257,603
American
Campus
Communities,
Inc.
8,995,497
103,931
Colliers
International
Group,
Inc.
6,931,158
98,405
Healthcare
Realty
Trust,
Inc.
2,963,959
119,846
National
Storage
Affiliates
Trust
3,920,163
119,555
Rayonier,
Inc.
REIT
3,161,034
805,313
Sunstone
Hotel
Investors,
Inc.
6,394,185
51,008
Terreno
Realty
Corporation
2,793,198
Total
38,478,784
Utilities
(2.1%)
58,613
NorthWestern
Corporation
2,850,936
97,088
PNM
Resources,
Inc.
4,012,647
76,692
Portland
General
Electric
Company
2,722,566
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
344
Shares
Common
Stock
(97.3%)
Value
Utilities
(2.1%)
-
continued
46,953
Spire,
Inc.
$
2,497,900
Total
12,084,049
Total
Common
Stock
(cost
$511,570,448)
546,464,252
Shares
Collateral
Held
for
Securities
Loaned
(
2.1%
)
Value
11,898,375
Thrivent
Cash
Management
Trust
11,898,375
Total
Collateral
Held
for
Securities
Loaned
(cost
$11,898,375)
11,898,375
Shares
Registered
Investment
Companies
(
1.8%
)
Value
Unaffiliated (1.8%)
57,579
Health
Care
Select
Sector
SPDR
Fund
6,073,433
70,653
iShares
Dow
Jones
US
Home
Construction
Index
Fund
4,002,493
Total
10,075,926
Total
Registered
Investment
Companies
(cost
$7,765,857)
10,075,926
Shares
Short-Term
Investments
(
0.8%
)
Value
Thrivent
Core
Short-Term
Reserve
Fund
458,926
0.310%
4,589,260
Total
Short-Term
Investments
(cost
$4,589,263)
4,589,260
Total
Investments
(cost
$535,823,943)
102.0%
$573,027,813
Other
Assets
and
Liabilities,
Net
(2.0%)
(11,475,962)
Total
Net
Assets
100.0%
$561,551,851
a
Non-income
producing
security.
b
All
or
a
portion
of
the
security
is
on
loan.
The
following
table
presents
the
total
amount
of
securities
loaned
with
continuous
maturity,
by
type,
offset
by
the
gross
payable
upon
return
of
collateral
for
securities
loaned
by
Thrivent
Small
Cap
Stock
Portfolio
as
of
September
30,
2020:
Securities
Lending
Transactions
Common
Stock
$
11,825,019
Total
lending
$11,825,019
Gross
amount
payable
upon
return
of
collateral
for
securities
loaned
$11,898,375
Net
amounts
due
to
counterparty
$73,356
Definitions:
REIT
-
Real
Estate
Investment
Trust
is
a
company
that
buys,
develops,
manages
and/or
sells
real
estate
assets.
SPDR
-
S&P
Depository
Receipts,
which
are
exchange-traded
funds
traded
in
the
U.S.,
Europe,
and
Asia-Pacific
and
managed
by
State
Street
Global
Advisors.
Small
Cap
Stock
Portfolio
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
The
accompanying
Notes
to
Schedule
of
Investments
are
an
integral
part
of
this
schedule.
345
Fair
Valuation
Measurements
The
following
table
is
a
summary
of
the
inputs
used,
as
of
September
30,
2020,
in
valuing
Small
Cap
Stock
Portfolio's
assets
carried
at
fair
value.
Investments
in
Securities
Total
Level
1
Level
2
Level
3
Common
Stock
Communications
Services
9,755,127
9,755,127
–
–
Consumer
Discretionary
54,791,473
54,791,473
–
–
Consumer
Staples
22,427,634
22,427,634
–
–
Energy
15,606,617
15,606,617
–
–
Financials
117,579,360
117,579,360
–
–
Health
Care
52,160,479
52,160,479
–
–
Industrials
103,535,541
103,535,541
–
–
Information
Technology
80,851,909
80,851,909
–
–
Materials
39,193,279
34,282,843
4,910,436
–
Real
Estate
38,478,784
38,478,784
–
–
Utilities
12,084,049
12,084,049
–
–
Registered
Investment
Companies
Unaffiliated
10,075,926
10,075,926
–
–
Subtotal
Investments
in
Securities
$556,540,178
$551,629,742
$4,910,436
$–
Other
Investments *
Total
Affiliated
Short-Term
Investments
4,589,260
Collateral
Held
for
Securities
Loaned
11,898,375
Subtotal
Other
Investments
$16,487,635
Total
Investments
at
Value
$573,027,813
*
Certain
investments
are
measured
at
fair
value
using
a
net
asset
value
per
share
that
is
not
publicly
available
(practical
expedient). According
to
disclosure
requirements
of
Accounting
Standards
Codification
(ASC)
820,
Fair
Value
Measurement,
securities
valued
using
the
practical
expedient
are
not
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
Statement
of
Assets
and
Liabilities.
Investment
in
Affiliates
Affiliated
issuers,
as
defined
under
the
Investment
Company
Act
of
1940,
include
those
in
which
the
Portfolio's
holdings
of
an
issuer
represent
5%
or
more
of
the
outstanding
voting
securities
of
an
issuer,
any
affiliated
mutual
fund,
or
a
company
which
is
under
common
ownership
or
control
with
the
Portfolio.
The
Portfolio
owns
shares
of
Thrivent
Cash
Management
Trust
for
the
purpose
of
securities
lending
and
Thrivent
Core
Short-Term
Reserve
Fund,
a
series
of
Thrivent
Core
Funds,
primarily
to
serve
as
a
cash
sweep
vehicle
for
the
Portfolio.
Thrivent
Cash
Management
Trust
and
Thrivent
Core
Funds
are
established
solely
for
investment
by
Thrivent
entities.
A
summary
of
transactions
(in
thousands;
values
shown
as
zero
are
less
than
$500)
for
the
fiscal
year
to
date,
in
Small
Cap
Stock
Portfolio,
is
as
follows:
Portfolio
Value
12/31/2019
Gross
Purchases
Gross
Sales
Value
9/30/2020
Shares
Held
at
9/30/2020
%
of
Net
Assets
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$18,699
$98,089
$112,195
$4,589
459
0.8%
Total
Affiliated
Short-Term
Investments
18,699
4,589
0.8
Collateral
held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
18,293
147,955
154,350
11,898
11,898
2.1
Total
Collateral
Held
for
Securities
Loaned
18,293
11,898
2.1
Total
Value
$36,992
$16,487
Portfolio
Net
Realized
Gain/(Loss)
Change
in
Unrealized
Appreciation/
(Depreciation)
Distributions
of
Realized
Capital
Gains
Income
Earned
1/1/2020
-
9/30/2020
Affiliated
Short-Term
Investments
Core
Short-Term
Reserve,
0.310%
$(4)
$0
–
$92
Total
Income/Non
Income
Cash
from
Affiliated
Investments
$92
Collateral
Held
for
Securities
Loaned
Cash
Management
Trust-
Collateral
Investment
–
–
–
25
Total
Affiliated
Income
from
Securities
Loaned,
Net
$25
Total
Value
$(4)
$0
$–
Notes
to
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
346
SIGNIFICANT
ACCOUNTING
POLICIES
Valuation
of
Investments
—
Securities
traded
on
U.S.
or
foreign
securities
exchanges
or
included
in
a
national
market
system
are
valued
at
the last
sale price
on
the
principal exchange as
of the
close
of
regular
trading
on
such
exchange
or
the
official
closing
price
of
the
national
market
system.
Over-the-counter
securities
and
listed
securities
for
which
no
price
is
readily
available
are
valued
at
the
current
bid
price
considered
best
to
represent
the
value
at
that
time.
Security
prices
are
based
on
quotes
that
are
obtained
from
an
independent
pricing
service
approved
by
the
Fund's
Board
of
Directors
(the
“Board”).
The
pricing
service,
in
determining
values
of
fixed-income
securities,
takes
into
consideration
such
factors
as
current
quotations
by
broker/dealers,
coupon,
maturity,
quality,
type
of
issue,
trading
characteristics,
and
other
yield
and
risk
factors
it
deems
relevant
in
determining
valuations.
Securities
which
cannot
be
valued
by
the
approved
pricing
service
are
valued
using
valuations
from dealers
that
make
markets
in
the
securities.
Exchange-listed
options and
futures
contracts
are
valued
at
the
primary
exchange
settle
price.
Exchange
cleared
swap
agreements
are
valued at the
clearinghouse
end
of
day
price. Swap
agreements
not
cleared
on
exchanges
will
be
valued
using
the
mid-price
from
the
primary
approved
pricing
service. Forward
foreign
currency
exchange
contracts
are
marked-to-market
based
upon
foreign
currency
exchange rates
provided
by the
pricing
service.
Investments
in
open-ended
mutual
funds
are
valued
at
their
net
asset
value
at
the
close
of
each
business
day.
Securities
held
by
the
Money
Market
Portfolio
are
valued
on
the
basis
of
amortized
cost
(which
approximates
market
value),
whereby
a
portfolio
security
is
valued
at
its
cost
initially
and
thereafter
valued
to
reflect
a
constant
amortization
to
maturity
of
any
discount
or
premium.
The Money
Market
Portfolio
and
the
Adviser
follow
procedures
designed
to
help
maintain
a
constant
net
asset
value
of
$1.00
per
share.
The
Board
has
delegated
responsibility
for
daily
valuation
of
the
Portfolios'
securities to
the
Portfolios'
Investment
Adviser.
The
Adviser
has
formed
a
Valuation
Committee
(“Committee”)
that
is
responsible
for
overseeing
the
Portfolios’
valuation
policies
in
accordance
with
Valuation
Policies
and
Procedures.
The
Committee
meets
on
a
monthly
and
on
an
as-needed
basis
to
review
price
challenges,
price
overrides,
stale
prices,
shadow
prices,
manual
prices,
money
market
pricing,
international
fair
valuation,
and
other
securities
requiring
fair
valuation.
The
Committee
monitors
for
significant
events
occurring
prior
to
the
close
of
trading
on
the
New
York
Stock
Exchange
that
could
have
a
material
impact
on
the
value
of
any
securities
that
are
held
by
the
Portfolios.
Examples
of
such
events
include
trading
halts,
national
news/events,
and
issuer-specific
developments.
If
the
Committee
decides
that
such
events
warrant
using
fair
value
estimates,
the
Committee
will
take
such
events
into
consideration
in
determining
the
fair
value
of
such
securities.
If
market
quotations
or
prices
are
not
readily
available
or
determined
to
be
unreliable,
the
securities
will
be
valued
at
fair
value
as
determined
in
good
faith
pursuant
to
procedures
adopted
by
the
Board.
In
accordance
with U.S.
Generally
Accepted
Accounting
Principles
(“GAAP”),
the
various
inputs
used
to
determine
the
fair
value
of
the
Portfolios’
investments
are
summarized
in
three
broad
levels.
Level
1
includes
quoted
prices
in
active
markets
for
identical
securities,
typically included
in
this
level
are
U.S.
equity
securities,
futures, options
and
registered
investment
company
funds.
Level
2
includes
other
significant
observable
inputs
such
as
quoted
prices
for
similar
securities,
interest
rates,
prepayment
speeds
and
credit
risk,
typically
included
in
this
level
are
fixed
income
securities,
international securities,
swaps
and
forward
contracts.
Level
3
includes
significant
unobservable
inputs
such
as
the
Adviser’s
own
assumptions
and
broker
evaluations
in
determining
the
fair
value
of
investments.
The
valuation
levels
are
not
necessarily
an
indication
of
the
risk
associated
with
investing
in
these
securities
or
other
investments.
Investments
measured
using
net
asset
value
per
share
as
a
practical
expedient
for
fair
value
and
that
are
not
publicly
available-for-sale are
not
categorized
within
the
fair
value
hierarchy.
Valuation
of
International
Securities
—
The
Portfolios
value
certain
foreign
securities
traded
on
foreign
exchanges
that
close
prior
to
the
close
of
the
New
York
Stock
Exchange
using
a
fair
value
pricing
service.
The
fair
value
pricing
service
uses
a
multi-factor
model
that
may
take
into
account
the
local
close,
relevant
general
and
sector
indices,
currency
fluctuation,
prices
of
other
securities
(including
ADRs,
New
York
registered
shares,
and
ETFs),
and
futures,
as
applicable,
to
determine
price
adjustments
for
each
security
in
order
to
reflect
the
effects
of
post-closing
events.
The
Board
has
authorized
the
Adviser
to
make
fair
valuation
determinations
pursuant
to
policies
approved
by
the
Board.
Foreign
Currency
Translation
—
The
accounting
records
of
each
Portfolio
are
maintained
in
U.S.
dollars.
Securities
and
other
assets
and
liabilities
that
are
denominated
in
foreign
currencies
are
translated
into
U.S.
dollars
at
the
daily
closing
rates
of
exchange.
Foreign
currency
amounts
related
to
the
purchase
or
sale
of
securities
and
income
and
expenses
are
translated
at
the
exchange
rate
on
the
transaction
date.
Net
realized
and
unrealized
currency
gains
and
losses
are
recorded
from
closed currency
contracts,
disposition
of foreign
currencies,
exchange
gains
or
losses
between
the
trade
date
and
settlement
date
on
securities
transactions,
and
other
translation
gains
or
losses
on
dividends,
interest
income
and
foreign
withholding
taxes.
The
Portfolios
do
not
separately
report
the
effect
of
changes
in
foreign
exchange
rates
from
changes
in
prices
on
securities
held.
Such
changes
are
included
in
net
realized
and
unrealized
gain
or
loss
from
investments
in
the
Statement
of
Operations.
For
federal
income
tax
purposes,
the
Portfolios
treat
the
effect
of
changes
in
foreign
exchange
rates
arising
from
actual
foreign
currency
transactions
and
the
changes
in
foreign
exchange
rates
between
the
trade
date
and
settlement
date
as
ordinary
income.
Notes
to
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
347
Foreign
Denominated
Investments
—
Foreign
denominated
assets
and
currency
contracts
may
involve
more
risks
than
domestic
transactions
including
currency
risk,
political
and
economic
risk,
regulatory
risk,
and
market
risk.
Certain
Portfolios
may
also
invest
in
securities
of
companies
located
in
emerging
markets.
Future
economic
or
political
developments
could
adversely
affect
the
liquidity
or
value,
or
both,
of
such
securities.
Derivative
Financial
Instruments
—
Each
of
the
Portfolios,
with
the
exception
of
the Money
Market
Portfolio,
may
invest
in
derivatives,
a
category
that
includes
options,
futures,
swaps,
foreign
currency
forward
contracts and
hybrid
instruments.
Derivatives
are
financial
instruments
whose
value
is
derived
from
another
security,
an
index
or
a
currency.
Each
applicable Portfolio
may
use
derivatives
for
hedging
(attempting
to
offset
a
potential
loss
in
one
position
by
establishing
an
interest
in
an
opposite
position).
This
includes
the
use
of
currency-based
derivatives
to
manage
the
risk
of
its
positions
in foreign
securities.
Each
applicable
Portfolio
may
also
use
derivatives
for
replication
of
a
certain
asset
class
or
speculation
(investing
for
potential
income
or
capital
gain).
These
contracts
may
be
transacted
on
an
exchange
or
over-the-counter
("OTC").
A
derivative
may
incur
a
mark
to
market
loss
if
the
value
of
the
derivative
decreases
due
to
an
unfavorable
change
in
the
market
rates
or
values
of
the
underlying
derivative.
Losses
can
also
occur
if
the
counterparty
does
not
perform
under
the
derivative.
A
Portfolio’s
risk
of
loss
from
the
counterparty
credit
risk
on
OTC
derivatives
is
generally
limited
to
the
aggregate
unrealized
gain
netted
against
any
collateral
held
by
such
Portfolio.
With
exchange
traded
futures
and
centrally
cleared
swaps,
there
is
minimal
counterparty
credit
risk
to
the
Portfolios
because
the
exchange’s
clearinghouse,
as
counterparty
to
such
derivatives,
guarantees
against
a
possible
default.
The
clearinghouse
stands
between
the
buyer
and
the
seller
of
the
derivative;
thus,
the
credit
risk
is
limited
to
the
failure
of
the
clearinghouse.
However,
credit
risk
still
exists
in
exchange
traded
futures
and
centrally
cleared
swaps
with
respect
to
initial
and
variation
margin
that
is
held
in
a
broker’s
customer
accounts.
While
brokers
are
required
to
segregate
customer
margin
from
their
own
assets,
in
the
event
that
a
broker
becomes
insolvent
or
goes
into
bankruptcy
and
at
that
time
there
is
a
shortfall
in
the
aggregate
amount
of
margin
held
by
the
broker
for
all
its
clients,
U.S.
bankruptcy
laws
will
typically
allocate
that
shortfall
on
a
pro-rata
basis
across
all
of the
broker’s
customers,
potentially
resulting
in
losses to
the
Portfolios.
Using
derivatives
to
hedge
can
guard
against
potential
risks,
but
it
also
adds
to
the
Portfolios’
expenses
and
can
eliminate
some
opportunities
for
gains.
In
addition,
a
derivative
used
for
mitigating
exposure
or
replication
may
not
accurately
track
the
value
of
the
underlying
asset.
Another
risk
with
derivatives
is
that
some
types
can
amplify
a
gain
or
loss,
potentially
earning
or
losing
substantially
more
money
than
the
actual
cost
of
the
derivative.
In
order
to
define
their
contractual
rights
and
to
secure
rights
that
will
help
the
Portfolios
mitigate
their
counterparty
risk,
the
Portfolios
may
enter
into
an
International
Swaps
and
Derivatives
Association,
Inc.
Master
Agreement
(“ISDA
Master
Agreement”)
or
similar
agreement
with derivative
contract
counterparties.
An
ISDA
Master
Agreement
is
a
bilateral
agreement
between
a
Portfolio
and
a
counterparty
that
governs
OTC
derivatives
and
foreign
exchange
contracts
and
typically
includes,
among
other
things,
collateral
posting
terms
and
netting
provisions
in
the
event
of
a
default
and/or
termination
event.
Under
an
ISDA
Master
Agreement,
each
Portfolio
may,
under
certain
circumstances,
offset
with
the
counterparty
certain
derivatives'
payables
and/
or
receivables
with
collateral
held
and/or
posted
and
create
one
single
net
payment.
The
provisions
of
the
ISDA
Master
Agreement
typically
permit
a
single
net
payment
in
the
event
of
a
default
(close-out
netting)
including
the
bankruptcy
or
insolvency
of
the
counterparty.
Note,
however,
that
bankruptcy
and
insolvency
laws
of
a
particular
jurisdiction
may
impose
restrictions
on
or
prohibitions
against
the
right
of
offset
in
bankruptcy,
insolvency
or
other
events.
Collateral
and
margin
requirements
vary
by
type
of
derivative.
Margin
requirements
are
established
by
the
broker
or
clearinghouse
for
exchange
traded
and
centrally
cleared
derivatives
(futures,
options,
and
centrally
cleared
swaps).
Brokers
can
ask
for
margining
in
excess
of
the
minimum requirements
in
certain
situations.
Collateral
terms
are
contract
specific
for
OTC
derivatives
(foreign
currency
exchange
contracts,
options,
and swaps).
For
derivatives
traded
under
an
ISDA
Master
Agreement,
the
collateral
requirements
are
typically
calculated
by
netting
the
mark
to
market
amount
for
each
transaction
under
such
agreement
and
comparing
that
amount
to
the
value
of
any
collateral
currently
pledged
by
the
Portfolio
and
the
counterparty.
For
financial
reporting
purposes,
non-cash
collateral
that
has
been
pledged
to
cover
obligations
of
the
Portfolio
has
been
noted
in
the
Schedule
of
Investments.
To
the
extent
amounts
due
to a
Portfolio
from
its
counterparties
are
not
fully
collateralized,
contractually
or
otherwise,
the
Portfolio
bears
the
risk
of
loss
from
counterparty
nonperformance.
The
Portfolios
attempt
to
mitigate
counterparty
risk
by
only
entering
into
agreements
with
counterparties
that
they
believe
have
the
financial
resources
to
honor
their
obligations
and
by
monitoring
the
financial
stability
of
those
counterparties.
Options
—
All
Portfolios,
with
the
exception
of
the Money
Market
Portfolio,
may
buy
put
and
call
options
and
write
put
and
covered
call
options.
The
Portfolios
intend
to
use
such
derivative
instruments
as
hedges
to
facilitate
buying
or
selling
securities
or
to
provide
protection
against
adverse
movements
in
security
prices
or
interest
rates.
The
Portfolios
may
also
enter
into
options
contracts
to
protect
against
adverse
foreign
exchange
rate
fluctuations.
Option
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded.
A
Portfolio
will
realize
a
gain
or
loss
upon
expiration
or
closing
of
the
option
transaction.
When
an
option
is
exercised,
the
proceeds
upon
sale
for
a
written
call
option
or
the
cost
of
a
security
for
purchased
put
and
call
options
is
adjusted
by
the
amount
of
premium
received
or
paid.
Buying
put
options
tends
to
decrease
a
Portfolio’s
exposure
to
the
underlying
security
while
buying
call
options
tends
to
increase
a
Portfolio’s
exposure
to
the
underlying
security.
The
risk
associated
with
purchasing
put
and
call
options
is
limited
Notes
to
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
348
to
the
premium
paid.
There
is
no
significant
counterparty
risk
on
exchange-traded
options
as
the
exchange
guarantees
the
contract
against
default.
Writing
put
options
tends
to
increase
a
Portfolio’s
exposure
to
the
underlying
security
while
writing
call
options
tends
to
decrease
a
Portfolio’s
exposure
to
the
underlying
security.
The
writer
of
an
option
has
no
control
over
whether
the
underlying
security
may
be
bought
or
sold,
and
therefore
bears
the
market
risk
of
an
unfavorable
change
in
the
price
of
the
underlying
security.
The
counterparty
risk
for
purchased
options
arises
when
the
Portfolio
has
purchased
an
option,
exercises
that
option,
and
the
counterparty
doesn’t
buy
from
the
Portfolio
or
sell
to
the
Portfolio
the
underlying
asset
as
required.
In
the
case
where
the
Portfolio
has
written
an
option,
the
Portfolio
doesn’t
have
counterparty
risk.
Counterparty
risk
on
purchased
over-the-
counter
options
is
partially
mitigated
by
the
Portfolio’s
collateral
posting
requirements.
As
the
option
increases
in
value
to
the
Portfolio,
the
Portfolio
receives
collateral
from
the
counterparty.
Risks
of
loss
may
exceed
amounts
recognized
on
the
Statement
of
Assets
and
Liabilities.
During
the period
ended
September
30,
2020,
Aggressive
Allocation,
Government
Bond,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
and
Moderately
Conservative
Allocation
used
options
on
mortgage
backed
securities
to
generate
income
and/or
manage
the
duration
of
the
Portfolio.
Futures
Contracts
—
All
Portfolios, with
the
exception
of
the
Money
Market
Portfolio, may
use
futures
contracts
to
manage
the
exposure
to
interest
rate
and
market
or
currency
fluctuations.
Gains
or
losses
on
futures
contracts
can
offset
changes
in
the
yield
of
securities.
When
a
futures
contract
is
opened,
cash
or
other
investments
equal
to
the
required
“initial
margin
deposit”
are
held
on
deposit
with
and
pledged
to
the
broker.
Additional
securities
held
by
the
Portfolios
may
be
earmarked
to
cover
open
futures
contracts. A
futures
contract’s
daily
change
in
value
(“variation
margin”)
is
either
paid
to
or
received
from
the
broker,
and
is
recorded
as
an
unrealized
gain
or
loss.
When
the
contract
is
closed,
realized
gain
or
loss
is
recorded
equal
to
the
difference
between
the
value
of
the
contract
when
opened
and
the
value
of
the
contract
when
closed.
Futures
contracts
involve,
to
varying
degrees,
risk
of
loss
in
excess
of
the
variation
margin
disclosed
in
the
Statement
of
Assets
and
Liabilities.
Exchange-traded
futures
have
no
significant
counterparty
risk
as
the
exchange
guarantees
the
contracts
against
default.
During
the period
ended
September
30,
2020,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus, Government
Bond, Income, Limited
Maturity
Bond,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
Moderately
Conservative
Allocation, and Opportunity
Income
Plus used
treasury
futures
to
manage
the
duration
and
yield
curve
exposure
of
the
respective
Portfolio
versus its
benchmark.
During
the period
ended
September
30,
2020,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus,
ESG
Index,
Global
Stock, International
Allocation,
International
Index,
Large
Cap Index,
Low
Volatility
Equity,
Mid
Cap
Index,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
Moderately
Conservative
Allocation,
Opportunity
Income
Plus,
and
Small
Cap
Index used
equity
futures
to
manage
exposure
to
the
equities
market.
During
the period
ended
September
30,
2020,
Aggressive
Allocation,
Balanced
Income
Plus,
Diversified
Income
Plus,
Global
Stock,
International
Allocation,
Moderate
Allocation,
Moderately
Aggressive
Allocation,
and
Moderately
Conservative
Allocation used foreign
exchange futures
to
hedge
currency
risk.
Foreign
Currency
Forward
Contracts
—
In
connection
with
purchases
and
sales
of
securities
denominated
in
foreign
currencies,
all
Portfolios,
with
the
exception
of
the Money
Market
Portfolio,
may
enter
into
foreign
currency
forward
contracts.
Additionally,
the
Portfolios
may
enter
into
such
contracts
to mitigate
currency
and
counterparty
exposure
to
other
foreign-currency-
denominated
investments.
These
contracts
are
recorded
at
value
and
the realized-
and
change
in unrealized-
foreign
exchange
gains
and
losses
are
included
in
the
Statement
of
Operations.
In
the
event
that
counterparties
fail
to
settle
these
forward
contracts,
the
Portfolios
could
be
exposed
to
foreign
currency
fluctuations.
Foreign
currency
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded
daily
as
the
difference
between
the
contract
exchange
rate
and
the
closing
forward
rate
applied
to
the
face
amount
of
the
contract.
A
realized
gain
or
loss
is
recorded
at
the
time
a
forward
contract
is
closed.
These
contracts
are
over-the-counter
and a
Portfolio
is
exposed
to
counterparty
risk
equal
to
the
discounted
net
amount
of
payments
to
the
Portfolio.
During
the period ended September
30,
2020,
Partner
Healthcare used
foreign
currency
forward
contracts
in
order
to
hedge
unwanted
currency
exposure.
Swap
Agreements
—
All
Portfolios,
with
the
exception
of
the
Money
Market
Portfolio,
may enter
into
swap
transactions,
which
involve
swapping
one
or
more
investment
characteristics
of
a
security
or
a
basket
of
securities
with
another
party.
Such
transactions
include
market
risk,
risk
of
default
by
the
other
party
to
the
transaction,
risk
of
imperfect
correlation
and
manager
risk
and
may
involve
commissions
or
other
costs.
Swap
transactions
generally
do
not
involve
delivery
of
securities,
other
underlying
assets
or
principal.
Accordingly,
the
risk
of
loss
with
respect
to
swap
transactions
is
generally
limited
to
the
net
amount
of
payments
that
the
Portfolio
is
contractually
obligated
to
make,
or
in
the
case
of
the
counterparty
defaulting,
the
net
amount
of
payments
that
the
Portfolio
is
contractually
entitled
to
receive.
Risks
of
loss
may
exceed
amounts
recognized
on
the
Statement
of
Assets
and
Liabilities.
If
there
is
a
default
by
the
counterparty,
the
Portfolio
may
have
contractual
remedies
pursuant
to
the
agreements
related
to
the
transaction.
The
contracts
are
valued
daily
and
unrealized
appreciation
or
depreciation
is
recorded.
Swap
agreements
are
valued
at
the
clearinghouse
end
of
day
prices
as
furnished
by
an
independent
pricing
service.
The
pricing
service
takes
into
account
such
factors
as
swap
curves,
default
probabilities,
recent
trades,
recovery
rates
and
other
factors
it
Notes
to
Schedule
of
Investments
as
of
September
30,
2020
(unaudited)
349
deems
relevant
in
determining
valuations.
Daily
fluctuations
in
the
value
of
the
centrally
cleared
credit
default
contracts
are
recorded
in
variation
margin
in
the
Statement
of
Assets
and
Liabilities
and
recorded
as
unrealized
gain
or
loss.
The
Portfolio
accrues
for
the
periodic
payment
and
amortizes
upfront
payments,
if
any,
on
swap
agreements
on
a
daily
basis
with
the
net
amount
recorded
as
realized
gains
or
losses
in
the
Statement
of
Operations.
Receipts
and
payments
received
or
made
as
a
result
of
a
credit
event
or
termination
of
the
contract
are
also
recognized
as
realized
gains
or
losses
in
the
Statement
of
Operations.
Collateral,
in
the
form
of
cash
or
securities,
may
be
required
to
be
held
with
the
Portfolio’s
custodian,
or
a
third
party,
in
connection
with
these
agreements.
Certain swap
agreements
are
over-the-counter. In
these
types
of transactions,
the
Portfolio
is
exposed
to
counterparty
risk,
which
is
the
discounted
net
amount
of
payments
owed
to
the
Portfolio.
This
risk
is
partially
mitigated
by
the
Portfolio’s
collateral
posting
requirements.
As
the
swap
increases
in
value
to
the
Portfolio,
the
Portfolio
receives
collateral
from
the
counterparty.
Certain
interest
rate
and
credit
default
index
swaps
must
be
cleared
through
a
clearinghouse
or
central
counterparty.
Credit
Default
Swaps
—
A
credit
default
swap
is
a
swap
agreement
between
two
parties
to
exchange
the
credit
risk
of
a
particular
issuer,
basket
of
securities
or
reference
entity.
In
a
credit
default
swap
transaction,
a
buyer
pays
periodic
fees
in
return
for
payment
by
the
seller
which
is
contingent
upon
an
adverse
credit
event
occurring
in
the
underlying
issuer
or
reference
entity.
The
seller
collects
periodic
fees
from
the
buyer
and
profits
if
the
credit
of
the
underlying
issuer
or
reference
entity
remains
stable
or
improves
while
the
swap
is
outstanding,
but
the
seller
in
a
credit
default
swap
contract
would
be
required
to
pay
the
amount
of
credit
loss,
determined
as
specified
in
the
agreement,
to
the
buyer
in
the
event
of
an
adverse
credit
event
in
the
reference
entity.
A
buyer
of
a
credit
default
swap
is
said
to
buy
protection
whereas
a
seller
of
a
credit
default
swap
is
said
to
sell
protection.
The
Portfolios
may
be
either
the
protection
buyer
or
the
protection
seller.
Certain
Portfolios
enter
into
credit
default
derivative
contracts
directly
through
credit
default
swaps
("CDS")
or
through
credit
default
swap
indices
("CDX
Indices").
CDX
Indices
are
static
pools
of
equally
weighted
credit
default
swaps
referencing
corporate
bonds
and/or
loans
designed
to increase
or
decrease diversified
credit
exposure
to
these
asset
classes.
Portfolios
sell
default
protection
and
assume
long-risk
positions
in
individual
credits
or
indices.
Index
positions
are
entered
into
to
gain
exposure
to
the
corporate
bond
and/or
loan
markets
in
a
cost-efficient
and
diversified
structure.
In
the
event
that
a
position
defaults,
by
going
into
bankruptcy
and
failing
to
pay
interest
or
principal
on
borrowed
money,
within
any
given
CDX
Index
held,
the
maximum
potential
amount
of
future
payments
required
would
be
equal
to
the
pro-rata
share
of
that
position
within
the
index
based
on
the
notional
amount
of
the
index.
In
the
event
of
a
default
under
a
CDS
contract,
the
maximum
potential
amount
of
future
payments
would
be
the
notional
amount.
Portfolios
buy
default
protection
in
order
to reduce
their
overall
credit
exposure
to
the
corporate
bond
and/or
loan
markets
in
a
cost-efficient
and
diversified
structure.
If
a
default
event
as
specified
in
the
CDS
reference
entity
agreement
occurs,
the
Portfolio
has
the
option
to
receive
a
cash
payment
in
exchange
for
the
credit
loss
of
the
reference
entity
obligation
as
of
the
date
of
the
credit
event. A
realized
gain
or
loss
is
recorded
upon
a
default
event
or
the
maturity
or
termination
of
the
CDS
agreement.
For
CDS,
the
default
events
could
be
bankruptcy
and
failing
to
pay
interest
or
principal
on
borrowed
money
or
a
restructuring.
A
restructuring
is
a
change
in
the
underlying
obligations
which
could
include
a
reduction
in
interest
or
principal,
maturity
extension and
subordination
to
other
obligations.
During
the period
ended
September
30,
2020,
Balanced
Income
Plus,
Diversified
Income
Plus,
High
Yield,
Income,
Limited
Maturity
Bond,
Moderate
Allocation,
Moderately
Aggressive
Allocation, Moderately
Conservative
Allocation,
and
Opportunity
Income
Plus used
CDX
indices
(comprised
of
credit
default
swaps)
to
help
manage
credit
risk
exposure
within
the
Portfolio.
Total
Return
Swaps
—
A
total
return
swap
is
a
swap
agreement
between
two
parties
to
exchange
the
total
return of
a
particular reference
asset. A
total
return
swap
involves
commitments
to
pay
interest
in
exchange
for
a
market
linked
return
based
on
a
notional
amount.
To
the
extent
that
the
total
return
of
the
security,
group
of
securities,
or
index
underlying
the
transactions
exceeds
or
falls
short
of
the
offsetting
interest
obligation,
the
Portfolios
will
receive
a
payment
from
or
make
a
payment
to
the
counterparty. The
Portfolios
may
take
a
"long"
or
"short"
position
with
respect
to
the
underlying
referenced
asset.cr
For
financial
reporting
purposes,
the
Portfolios
do
not
offset
derivative
assets
and
derivative
liabilities
that
are
subject
to
netting
arrangements
in
the
Statement
of
Assets
and
Liabilities.
Additional
information
for
the
Portfolio's
policy
regarding
valuation
of
investments
and
other
significant
accounting
policies
can
be
obtained
by
referring
to
the
Portfolio's
most
recent
annual
or
semiannual
shareholder
report.