PACIFIC SELECT FUND
CORE INCOME PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
CORPORATE BONDS & NOTES - 50.1% |
| |||||||
Basic Materials - 1.5% |
| |||||||
Anglo American Capital PLC (South Africa) |
$7,100,000 | $5,911,481 | ||||||
Braskem Netherlands Finance BV (Brazil) |
600,000 | 577,050 | ||||||
Glencore Funding LLC (Australia) |
2,550,000 | 2,094,697 | ||||||
South32 Treasury Ltd. (Australia) |
4,100,000 | 3,659,574 | ||||||
|
|
|||||||
12,242,802 | ||||||||
|
|
|||||||
Communications - 3.1% |
||||||||
AT&T, Inc. |
||||||||
3.500% due 09/15/53 |
2,953,000 | 2,147,712 | ||||||
3.850% due 06/01/60 |
2,900,000 | 2,177,140 | ||||||
Charter Communications Operating LLC/Charter Communications Operating Capital |
| |||||||
3.500% due 06/01/41 |
2,600,000 | 1,786,477 | ||||||
3.850% due 04/01/61 |
5,200,000 | 3,248,742 | ||||||
Cox Communications, Inc. |
2,000,000 | 1,585,317 | ||||||
Rogers Communications, Inc. (Canada) |
2,700,000 | 2,223,220 | ||||||
T-Mobile USA, Inc. |
||||||||
2.250% due 02/15/26 |
2,000,000 | 1,861,922 | ||||||
2.250% due 11/15/31 |
1,000,000 | 819,364 | ||||||
3.375% due 04/15/29 |
600,000 | 547,553 | ||||||
5.050% due 07/15/33 |
3,900,000 | 3,921,203 | ||||||
Verizon Communications, Inc. |
||||||||
1.680% due 10/30/30 |
1,200,000 | 969,205 | ||||||
3.400% due 03/22/41 |
5,800,000 | 4,616,957 | ||||||
|
|
|||||||
25,904,812 | ||||||||
|
|
|||||||
Consumer, Cyclical - 5.1% |
||||||||
American Airlines Pass-Through Trust Class A |
948,859 | 783,494 | ||||||
American Airlines Pass-Through Trust Class AA |
2,606,764 | 2,392,774 | ||||||
American Airlines Pass-Through Trust Class B |
620,750 | 546,277 | ||||||
American Airlines, Inc./AAdvantage Loyalty IP Ltd. |
2,000,000 | 1,920,602 | ||||||
British Airways Pass-Through Trust Class A (United Kingdom) |
||||||||
3.350% due 12/15/30 ~ |
979,614 | 846,190 | ||||||
4.625% due 12/20/25 ~ |
490,223 | 484,673 | ||||||
British Airways Pass-Through Trust Class AA (United Kingdom) |
2,544,537 | 2,203,432 | ||||||
Continental Airlines Pass-Through Trust Class A 4.000% due 04/29/26 |
1,104,034 | 1,067,722 | ||||||
Delta Air Lines Pass-Through Trust Class AA 3.625% due 01/30/29 |
269,350 | 248,799 | ||||||
Delta Air Lines, Inc./SkyMiles IP Ltd. |
||||||||
4.500% due 10/20/25 ~ |
3,333,322 | 3,279,450 | ||||||
4.750% due 10/20/28 ~ |
2,000,000 | 1,931,696 | ||||||
Ferguson Finance PLC |
1,150,000 | 1,107,140 | ||||||
Ford Motor Credit Co. LLC |
||||||||
2.300% due 02/10/25 |
2,325,000 | 2,158,112 | ||||||
3.375% due 11/13/25 |
1,050,000 | 985,546 |
Principal |
Value |
|||||||
4.542% due 08/01/26 |
$ 1,550,000 | $ 1,471,679 | ||||||
Genting New York LLC/GENNY Capital, Inc. |
1,900,000 | 1,710,362 | ||||||
Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Esc |
3,450,000 | 2,949,439 | ||||||
Kohls Corp. |
1,750,000 | 1,182,755 | ||||||
Lowes Cos., Inc. |
1,500,000 | 1,226,187 | ||||||
Marriott International, Inc. |
||||||||
2.750% due 10/15/33 |
2,500,000 | 2,025,786 | ||||||
5.000% due 10/15/27 |
1,350,000 | 1,353,817 | ||||||
Meritage Homes Corp. |
3,375,000 | 3,000,324 | ||||||
New Red Finance, Inc. (Canada) |
2,000,000 | 1,861,940 | ||||||
Six Flags Entertainment Corp. |
1,500,000 | 1,478,914 | ||||||
United Airlines Pass-Through Trust Class A |
351,553 | 300,421 | ||||||
United Airlines Pass-Through Trust Class AA |
562,562 | 506,609 | ||||||
US Airways Pass-Through Trust Class A |
858,725 | 812,286 | ||||||
Warnermedia Holdings, Inc. |
2,750,000 | 2,302,680 | ||||||
|
|
|||||||
42,139,106 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 7.0% |
||||||||
AmerisourceBergen Corp. |
5,500,000 | 4,719,848 | ||||||
Amgen, Inc. |
1,650,000 | 1,718,833 | ||||||
Anheuser-Busch InBev Finance, Inc. (Belgium) |
6,500,000 | 5,717,587 | ||||||
Anheuser-Busch InBev Worldwide, Inc. (Belgium) |
2,500,000 | 2,627,918 | ||||||
BAT Capital Corp. (United Kingdom) |
1,050,000 | 923,496 | ||||||
Block, Inc. |
2,000,000 | 1,825,980 | ||||||
Centene Corp. |
1,750,000 | 1,524,075 | ||||||
Cigna Group |
4,250,000 | 4,415,643 | ||||||
Elevance Health, Inc. |
1,100,000 | 1,157,889 | ||||||
General Mills, Inc. |
1,450,000 | 1,473,255 | ||||||
Global Payments, Inc. |
2,150,000 | 2,125,352 | ||||||
Humana, Inc. |
2,600,000 | 2,649,881 | ||||||
Imperial Brands Finance PLC (United Kingdom) |
650,000 | 667,560 | ||||||
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc. |
3,000,000 | 2,353,020 | ||||||
Kenvue, Inc. |
1,650,000 | 1,701,902 | ||||||
Keurig Dr Pepper, Inc. |
3,250,000 | 2,896,723 | ||||||
Kraft Heinz Foods Co. |
3,700,000 | 3,226,716 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
1
PACIFIC SELECT FUND
CORE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
UnitedHealth Group, Inc. |
||||||||
4.750% due 05/15/52 |
$ 3,000,000 | $ 2,924,243 | ||||||
5.050% due 04/15/53 |
6,000,000 | 6,072,817 | ||||||
Universal Health Services, Inc. |
||||||||
2.650% due 10/15/30 |
2,000,000 | 1,605,099 | ||||||
2.650% due 01/15/32 |
3,550,000 | 2,772,688 | ||||||
Viatris, Inc. |
4,750,000 | 3,338,088 | ||||||
|
|
|||||||
58,438,613 | ||||||||
|
|
|||||||
Energy - 3.8% |
||||||||
Cheniere Energy Partners LP |
3,000,000 | 2,789,837 | ||||||
Enbridge, Inc. (Canada) |
2,450,000 | 2,348,399 | ||||||
Energy Transfer LP |
||||||||
4.750% due 01/15/26 |
3,600,000 | 3,557,666 | ||||||
5.000% due 05/15/44 |
3,050,000 | 2,608,204 | ||||||
5.750% due 02/15/33 |
3,700,000 | 3,793,425 | ||||||
6.500% due 11/15/26 |
1,000,000 | 882,500 | ||||||
Enterprise Products Operating LLC |
2,900,000 | 2,103,226 | ||||||
MPLX LP |
||||||||
4.950% due 03/14/52 |
1,000,000 | 870,996 | ||||||
5.200% due 12/01/47 |
1,600,000 | 1,424,380 | ||||||
5.650% due 03/01/53 |
4,150,000 | 3,999,760 | ||||||
Petroleos Mexicanos (Mexico) |
1,400,000 | 862,050 | ||||||
Sabine Pass Liquefaction LLC |
2,700,000 | 2,764,136 | ||||||
Targa Resources Partners LP/Targa Resources Partners Finance Corp. |
4,350,000 | 3,796,049 | ||||||
|
|
|||||||
31,800,628 | ||||||||
|
|
|||||||
Financial - 16.7% |
||||||||
ABN AMRO Bank NV (Netherlands) |
1,000,000 | 768,248 | ||||||
AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland) |
2,000,000 | 1,658,384 | ||||||
Air Lease Corp. |
||||||||
3.000% due 02/01/30 |
2,500,000 | 2,141,266 | ||||||
4.650% due 06/15/26 |
2,700,000 | 2,249,002 | ||||||
Ally Financial, Inc. |
950,000 | 845,182 | ||||||
Aon Corp./Aon Global Holdings PLC |
3,250,000 | 3,369,928 | ||||||
Assured Guaranty US Holdings, Inc. |
2,150,000 | 1,495,384 | ||||||
Avolon Holdings Funding Ltd. (Ireland) |
2,400,000 | 2,005,209 | ||||||
Bank of America Corp. |
||||||||
2.482% due 09/21/36 |
2,500,000 | 1,900,346 | ||||||
2.687% due 04/22/32 |
2,000,000 | 1,670,290 | ||||||
2.972% due 02/04/33 |
2,000,000 | 1,685,522 | ||||||
4.375% due 01/27/27 |
1,500,000 | 1,278,957 | ||||||
5.015% due 07/22/33 |
3,000,000 | 2,969,301 | ||||||
6.125% due 04/27/27 |
2,950,000 | 2,909,438 | ||||||
BNP Paribas SA (France) |
1,200,000 | 899,832 | ||||||
Broadstone Net Lease LLC REIT |
1,000,000 | 725,872 | ||||||
Citigroup, Inc. |
||||||||
4.150% due 11/15/26 |
1,750,000 | 1,435,000 | ||||||
4.600% due 03/09/26 |
3,000,000 | 2,940,706 | ||||||
4.658% due 05/24/28 |
2,000,000 | 1,977,127 | ||||||
6.270% due 11/17/33 |
2,000,000 | 2,164,718 | ||||||
Fidelity National Financial, Inc. |
2,000,000 | 1,255,346 | ||||||
GLP Capital LP/GLP Financing II, Inc. REIT |
2,600,000 | 2,111,876 |
Principal |
Value |
|||||||
Goldman Sachs Group, Inc. |
||||||||
2.615% due 04/22/32 |
$ 4,000,000 | $ 3,334,459 | ||||||
3.102% due 02/24/33 |
5,200,000 | 4,469,580 | ||||||
4.482% due 08/23/28 |
4,000,000 | 3,915,458 | ||||||
Hill City Funding Trust |
1,200,000 | 843,087 | ||||||
Host Hotels & Resorts LP REIT |
3,700,000 | 2,891,855 | ||||||
HSBC Holdings PLC (United Kingdom) |
1,450,000 | 1,081,756 | ||||||
JPMorgan Chase & Co. |
||||||||
2.963% due 01/25/33 |
8,450,000 | 7,232,143 | ||||||
4.851% due 07/25/28 |
4,000,000 | 3,996,188 | ||||||
4.912% due 07/25/33 |
5,150,000 | 5,123,378 | ||||||
5.717% due 09/14/33 |
5,850,000 | 5,997,353 | ||||||
Liberty Mutual Group, Inc. |
2,650,000 | 1,578,571 | ||||||
LSEGA Financing PLC (United Kingdom) |
1,800,000 | 1,376,253 | ||||||
Massachusetts Mutual Life Insurance Co. |
4,050,000 | 4,141,375 | ||||||
Metropolitan Life Global Funding I |
900,000 | 908,151 | ||||||
Morgan Stanley |
||||||||
2.475% due 01/21/28 |
2,200,000 | 2,011,551 | ||||||
2.484% due 09/16/36 |
9,100,000 | 6,919,170 | ||||||
2.943% due 01/21/33 |
3,000,000 | 2,543,856 | ||||||
5.123% due 02/01/29 |
2,000,000 | 2,017,447 | ||||||
6.342% due 10/18/33 |
2,000,000 | 2,186,134 | ||||||
New York Life Global Funding |
1,500,000 | 1,502,194 | ||||||
Northwestern Mutual Life Insurance Co. |
3,500,000 | 2,581,443 | ||||||
OneMain Finance Corp. |
||||||||
5.375% due 11/15/29 |
1,750,000 | 1,474,025 | ||||||
6.125% due 03/15/24 |
2,100,000 | 2,047,689 | ||||||
Piedmont Operating Partnership LP REIT |
2,000,000 | 1,891,392 | ||||||
PNC Financial Services Group, Inc. |
1,200,000 | 1,119,000 | ||||||
Principal Financial Group, Inc. |
2,550,000 | 2,554,147 | ||||||
Prudential Financial, Inc. |
3,600,000 | 3,508,272 | ||||||
Sun Communities Operating LP |
2,850,000 | 2,855,470 | ||||||
Teachers Insurance & Annuity Association of America |
2,000,000 | 1,690,076 | ||||||
U.S. Bancorp |
3,000,000 | 2,912,714 | ||||||
UBS Group AG (Switzerland) |
1,000,000 | 781,370 | ||||||
VICI Properties LP/VICI Note Co., Inc. REIT |
||||||||
3.750% due 02/15/27 ~ |
1,500,000 | 1,386,098 | ||||||
4.625% due 12/01/29 ~ |
7,750,000 | 7,062,068 | ||||||
Wells Fargo & Co. |
||||||||
4.400% due 06/14/46 |
2,200,000 | 1,819,120 | ||||||
4.897% due 07/25/33 |
1,000,000 | 976,708 | ||||||
|
|
|||||||
139,186,485 | ||||||||
|
|
|||||||
Industrial - 3.5% |
||||||||
Allegion US Holding Co., Inc. |
4,289,000 | 4,009,532 | ||||||
Amcor Flexibles North America, Inc. |
2,000,000 | 1,665,389 | ||||||
Berry Global, Inc. |
2,000,000 | 1,951,420 | ||||||
Flowserve Corp. |
5,300,000 | 4,209,355 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
2
PACIFIC SELECT FUND
CORE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Masco Corp. |
$ 950,000 | $ 1,064,946 | ||||||
nVent Finance SARL (United Kingdom) |
4,100,000 | 3,330,173 | ||||||
Raytheon Technologies Corp. |
||||||||
5.150% due 02/27/33 |
2,500,000 | 2,603,199 | ||||||
5.375% due 02/27/53 |
1,350,000 | 1,422,877 | ||||||
Republic Services, Inc. |
1,700,000 | 1,733,105 | ||||||
TransDigm, Inc. |
4,271,000 | 4,279,222 | ||||||
Weir Group PLC (United Kingdom) |
3,650,000 | 3,290,660 | ||||||
|
|
|||||||
29,559,878 | ||||||||
|
|
|||||||
Technology - 3.2% |
||||||||
Broadcom, Inc. |
5,500,000 | 4,234,106 | ||||||
Fiserv, Inc. |
4,050,000 | 4,202,597 | ||||||
Intel Corp. |
2,500,000 | 2,554,340 | ||||||
Kyndryl Holdings, Inc. |
||||||||
2.050% due 10/15/26 |
2,500,000 | 2,174,090 | ||||||
3.150% due 10/15/31 |
3,000,000 | 2,296,336 | ||||||
NXP BV/NXP Funding LLC/NXP USA, Inc. (China) |
5,000,000 | 4,831,482 | ||||||
Oracle Corp. |
||||||||
2.875% due 03/25/31 |
2,000,000 | 1,712,424 | ||||||
3.950% due 03/25/51 |
4,500,000 | 3,392,830 | ||||||
6.150% due 11/09/29 |
850,000 | 905,760 | ||||||
Skyworks Solutions, Inc. |
600,000 | 499,626 | ||||||
|
|
|||||||
26,803,591 | ||||||||
|
|
|||||||
Utilities - 6.2% |
||||||||
American Electric Power Co., Inc. |
1,750,000 | 1,811,687 | ||||||
Appalachian Power Co. |
1,650,000 | 1,585,169 | ||||||
Arizona Public Service Co. |
3,200,000 | 3,479,644 | ||||||
Brooklyn Union Gas Co. |
2,175,000 | 2,113,302 | ||||||
Dominion Energy, Inc. |
1,550,000 | 1,289,990 | ||||||
DPL, Inc. |
||||||||
4.125% due 07/01/25 |
1,500,000 | 1,434,563 | ||||||
4.350% due 04/15/29 |
1,125,000 | 999,945 | ||||||
Duke Energy Ohio, Inc. |
1,000,000 | 1,049,984 | ||||||
Duke Energy Progress LLC |
1,900,000 | 1,976,121 | ||||||
Duke Energy Progress NC Storm Funding LLC |
2,650,000 | 2,195,758 | ||||||
Edison International |
5,000,000 | 5,075,000 | ||||||
Eversource Energy |
1,000,000 | 1,037,006 | ||||||
FirstEnergy Corp. |
2,500,000 | 2,384,213 | ||||||
IPALCO Enterprises, Inc. |
3,000,000 | 2,764,045 | ||||||
Kentucky Utilities Co. |
1,750,000 | 1,821,102 | ||||||
KeySpan Gas East Corp. |
1,500,000 | 1,088,174 | ||||||
Louisville Gas & Electric Co. |
2,200,000 | 2,287,764 |
Principal |
Value |
|||||||
Nevada Power Co. |
$ 2,650,000 | $ 2,946,197 | ||||||
NextEra Energy Operating Partners LP |
3,350,000 | 3,311,039 | ||||||
NSTAR Electric Co. |
||||||||
4.550% due 06/01/52 |
2,050,000 | 1,913,866 | ||||||
4.950% due 09/15/52 |
1,650,000 | 1,629,898 | ||||||
PG&E Energy Recovery Funding LLC |
1,200,000 | 957,675 | ||||||
PG&E Wildfire Recovery Funding LLC |
938,169 | 896,580 | ||||||
Piedmont Natural Gas Co., Inc. |
1,000,000 | 930,480 | ||||||
Sempra Energy |
2,350,000 | 1,900,022 | ||||||
Southwestern Electric Power Co. |
1,900,000 | 1,325,772 | ||||||
Texas Electric Market Stabilization Funding N LLC |
1,024,087 | 992,904 | ||||||
Virginia Electric & Power Co. |
350,000 | 352,871 | ||||||
|
|
|||||||
51,550,771 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
|
417,626,686 | ||||||
|
|
|||||||
SENIOR LOAN NOTES - 11.0% |
||||||||
Consumer, Cyclical - 2.8% |
||||||||
Carnival Corp. |
||||||||
Term B 7.840% (USD LIBOR + 3.000%) due 06/30/25 § |
997,436 | 986,464 | ||||||
8.090% (USD LIBOR + 3.250%) due 10/18/28 § |
370,313 | 362,675 | ||||||
ClubCorp Holdings, Inc. Term B |
3,385,831 | 3,245,109 | ||||||
Marriott Ownership Resorts, Inc. Term B |
3,231,949 | 3,213,770 | ||||||
Mileage Plus Holdings LLC Term B |
1,850,000 | 1,923,872 | ||||||
SeaWorld Parks & Entertainment, Inc. Term B |
6,932,405 | 6,915,074 | ||||||
Stars Group Holdings BV Term B (Canada) |
3,512,840 | 3,515,036 | ||||||
United Airlines, Inc. Term B |
3,121,415 | 3,109,061 | ||||||
|
|
|||||||
23,271,061 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 3.1% |
||||||||
Allied Universal Holdco LLC Term B |
1,231,250 | 1,170,457 | ||||||
CoreLogic, Inc. Term B |
2,708,750 | 2,317,674 | ||||||
Heartland Dental LLC Term B |
1,228,125 | 1,161,601 | ||||||
Mavis Tire Express Services Corp. Term B |
4,349,962 | 4,275,877 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
3
PACIFIC SELECT FUND
CORE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Medline Borrower LP Term B |
$ 1,739,981 | $ 1,698,537 | ||||||
Pathway Vet Alliance LLC Term B |
6,400,325 | 5,638,002 | ||||||
PetVet Care Centers LLC Term B3 |
4,519,250 | 4,392,146 | ||||||
Sunshine Luxembourg VII SARL Term B3 (Luxembourg) |
2,708,933 | 2,686,438 | ||||||
Verscend Holding Corp. Term B |
2,493,655 | 2,494,590 | ||||||
|
|
|||||||
25,835,322 | ||||||||
|
|
|||||||
Financial - 2.0% |
||||||||
AssuredPartners, Inc. Term B |
2,705,509 | 2,683,246 | ||||||
HUB International Ltd. Term B |
5,377,667 | 5,368,804 | ||||||
NFP Corp. Term B |
1,515,782 | 1,481,992 | ||||||
USI, Inc. Term B |
7,778,746 | 7,769,022 | ||||||
|
|
|||||||
17,303,064 | ||||||||
|
|
|||||||
Industrial - 1.4% |
||||||||
Filtration Group Corp. Term B |
6,288,834 | 6,280,973 | ||||||
Proampac PG Borrower LLC Term B |
2,467,581 | 2,424,398 | ||||||
TransDigm, Inc. Term I |
2,767,022 | 2,763,372 | ||||||
|
|
|||||||
11,468,743 | ||||||||
|
|
|||||||
Technology - 1.7% |
||||||||
CDK Global, Inc. Term B |
997,500 | 996,342 | ||||||
Epicor Software Corp. Term C |
5,440,709 | 5,357,967 | ||||||
Sophia LP Term B |
1,706,003 | 1,685,105 | ||||||
Ultimate Software Group, Inc. |
6,174,666 | 6,024,708 | ||||||
|
|
|||||||
14,064,122 | ||||||||
|
|
|||||||
Total Senior Loan Notes |
|
91,942,312 | ||||||
|
|
|||||||
MORTGAGE-BACKED SECURITIES - 1.0% |
| |||||||
Fannie Mae - 1.0% |
||||||||
due 04/17/38 # |
4,500,000 | 4,572,846 |
Principal |
Value |
|||||||
due 04/01/53 # |
$ 3,500,000 | $ 3,609,102 | ||||||
|
|
|||||||
8,181,948 | ||||||||
|
|
|||||||
Total Mortgage-Backed Securities |
|
8,181,948 | ||||||
|
|
|||||||
ASSET-BACKED SECURITIES - 14.8% |
|
|||||||
AIMCO CLO 11 Ltd. (Cayman) |
1,500,000 | 1,460,502 | ||||||
Ally Auto Receivables Trust |
3,000,000 | 3,012,314 | ||||||
AmeriCredit Automobile Receivables Trust |
||||||||
0.760% due 12/18/25 |
2,400,000 | 2,312,448 | ||||||
0.890% due 10/19/26 |
1,050,000 | 979,267 | ||||||
1.410% due 08/18/27 |
1,500,000 | 1,363,413 | ||||||
Buttermilk Park CLO Ltd. (Cayman) |
1,200,000 | 1,182,424 | ||||||
Carlyle Global Market Strategies CLO Ltd. |
2,000,000 | 1,970,250 | ||||||
CIFC Funding Ltd. (Cayman) |
||||||||
5.668% (USD LIBOR + 0.870%) due 04/19/29 § ~ |
2,312,296 | 2,278,581 | ||||||
5.895% (USD LIBOR + 1.100%) due 07/18/31 § ~ |
3,630,000 | 3,584,625 | ||||||
Dryden 55 CLO Ltd. (Cayman) |
1,000,000 | 943,108 | ||||||
Dryden 58 CLO Ltd. (Cayman) |
||||||||
6.292% (USD LIBOR + 1.500%) due 07/17/31 § ~ |
1,000,000 | 963,950 | ||||||
6.592% (USD LIBOR + 1.800%) due 07/17/31 § ~ |
1,000,000 | 943,019 | ||||||
Dryden 61 CLO Ltd. (Cayman) |
2,250,000 | 2,212,042 | ||||||
Dryden 64 CLO Ltd. (Cayman) |
800,000 | 770,918 | ||||||
Ford Credit Auto Owner Trust |
||||||||
0.790% due 11/15/25 |
2,420,000 | 2,337,637 | ||||||
1.290% due 06/15/26 |
500,000 | 478,995 | ||||||
2.040% due 12/15/26 |
500,000 | 482,352 | ||||||
3.190% due 07/15/31 ~ |
3,000,000 | 2,912,015 | ||||||
3.880% due 11/15/34 ~ |
2,650,000 | 2,569,356 | ||||||
5.140% due 03/15/26 |
2,550,000 | 2,550,798 | ||||||
5.270% due 05/17/27 |
2,000,000 | 2,023,738 | ||||||
Hilton Grand Vacations Trust |
247,316 | 236,418 | ||||||
Honda Auto Receivables Owner Trust |
1,580,000 | 1,463,843 | ||||||
Madison Park Funding XXVIII Ltd. (Cayman) |
1,400,000 | 1,360,205 | ||||||
Magnetite XII Ltd. (Cayman) |
4,775,000 | 4,720,443 | ||||||
Magnetite XIV-R Ltd. (Cayman) |
2,500,000 | 2,467,964 | ||||||
Magnetite XIX Ltd. (Cayman) |
4,500,000 | 4,377,809 | ||||||
Magnetite XXI Ltd. (Cayman) |
5,000,000 | 4,859,061 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
4
PACIFIC SELECT FUND
CORE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Magnetite XXII Ltd. (Cayman) |
$ 1,500,000 | $ 1,460,625 | ||||||
Magnetite XXIX Ltd. (Cayman) |
1,300,000 | 1,278,918 | ||||||
Mercedes-Benz Auto Receivables Trust |
500,000 | 499,733 | ||||||
MVW LLC |
141,109 | 129,564 | ||||||
Navient Private Education Refi Loan Trust |
||||||||
0.840% due 05/15/69 ~ |
307,341 | 268,991 | ||||||
0.940% due 07/15/69 ~ |
4,495,966 | 3,930,267 | ||||||
1.220% due 07/15/69 ~ |
690,204 | 617,347 | ||||||
1.310% due 01/15/69 ~ |
507,034 | 465,511 | ||||||
1.690% due 05/15/69 ~ |
2,336,505 | 2,104,923 | ||||||
2.460% due 11/15/68 ~ |
359,456 | 335,783 | ||||||
2.640% due 05/15/68 ~ |
411,789 | 388,608 | ||||||
Navient Student Loan Trust |
||||||||
1.310% due 12/26/69 ~ |
1,193,927 | 1,017,845 | ||||||
1.320% due 08/26/69 ~ |
968,898 | 825,179 | ||||||
3.390% due 12/15/59 ~ |
1,719,354 | 1,640,231 | ||||||
5.445% (USD LIBOR + 0.600%) due 12/26/69 § ~ |
717,073 | 689,595 | ||||||
5.895% (USD LIBOR + 1.050%) due 06/25/69 § ~ |
703,675 | 695,650 | ||||||
Neuberger Berman Loan Advisers CLO 25 Ltd. (Cayman) |
1,500,000 | 1,449,885 | ||||||
Neuberger Berman Loan Advisers CLO 31 Ltd. (Cayman) |
1,000,000 | 987,370 | ||||||
OneMain Financial Issuance Trust |
1,350,000 | 1,305,811 | ||||||
Palmer Square CLO Ltd. (Cayman) |
||||||||
5.892% (USD LIBOR + 1.100%) due 07/16/31 § ~ |
1,000,000 | 990,480 | ||||||
5.944% (USD LIBOR + 1.080%) due 11/15/31 § ~ |
4,000,000 | 3,951,242 | ||||||
Palmer Square Loan Funding Ltd. (Cayman) |
||||||||
5.608% (USD LIBOR + 0.800%) due 07/20/29 § ~ |
2,145,813 | 2,119,528 | ||||||
5.708% (USD LIBOR + 0.900%) due 04/20/29 § ~ |
1,337,798 | 1,331,134 | ||||||
6.165% (USD LIBOR + 1.250%) due 05/20/29 § ~ |
4,000,000 | 3,915,497 | ||||||
6.192% (USD LIBOR + 1.400%) due 10/15/29 § ~ |
4,800,000 | 4,706,408 | ||||||
6.208% (USD LIBOR + 1.400%) due 07/20/29 § ~ |
2,500,000 | 2,453,224 | ||||||
6.575% (USD LIBOR + 1.900%) due 02/20/28 § ~ |
600,000 | 582,172 | ||||||
Santander Drive Auto Receivables Trust |
||||||||
0.750% due 02/17/26 |
1,032,525 | 1,018,413 | ||||||
4.420% due 11/15/27 |
1,700,000 | 1,674,915 | ||||||
SLM Student Loan Trust |
530,224 | 518,145 | ||||||
SMB Private Education Loan Trust |
||||||||
1.070% due 01/15/53 ~ |
1,669,724 | 1,439,013 | ||||||
1.290% due 07/15/53 ~ |
712,633 | 638,860 | ||||||
1.680% due 02/15/51 ~ |
1,010,773 | 919,472 | ||||||
2.230% due 09/15/37 ~ |
2,266,995 | 2,095,130 | ||||||
2.340% due 09/15/34 ~ |
201,244 | 193,702 | ||||||
2.700% due 05/15/31 ~ |
239,204 | 232,697 | ||||||
2.820% due 10/15/35 ~ |
717,020 | 685,876 | ||||||
2.880% due 09/15/34 ~ |
1,524,842 | 1,459,151 | ||||||
3.440% due 07/15/36 ~ |
934,214 | 893,237 | ||||||
3.500% due 02/15/36 ~ |
561,018 | 533,849 | ||||||
3.600% due 01/15/37 ~ |
626,060 | 604,152 |
Principal |
Value |
|||||||
3.630% due 11/15/35 ~ |
$ 505,570 | $ 484,224 | ||||||
4.480% due 05/16/50 ~ |
1,372,967 | 1,331,190 | ||||||
5.414% (USD LIBOR + 0.730%) due 01/15/53 § ~ |
4,061,425 | 3,915,072 | ||||||
SoFi Professional Loan Program Trust |
708,494 | 661,132 | ||||||
Stratus CLO Ltd. (Cayman) |
4,000,000 | 3,899,016 | ||||||
Tiaa CLO III Ltd. (Cayman) |
1,834,000 | 1,812,939 | ||||||
Toyota Auto Receivables Owner Trust |
1,125,000 | 1,077,889 | ||||||
|
|
|||||||
Total Asset-Backed Securities |
|
123,047,090 | ||||||
|
|
|||||||
U.S. TREASURY OBLIGATIONS - 18.2% |
||||||||
U.S. Treasury Bonds - 9.9% |
||||||||
1.125% due 05/15/40 |
6,000,000 | 3,997,735 | ||||||
1.250% due 05/15/50 |
3,750,000 | 2,182,324 | ||||||
1.375% due 08/15/50 |
2,750,000 | 1,653,115 | ||||||
1.750% due 08/15/41 |
5,500,000 | 3,986,641 | ||||||
1.875% due 11/15/51 |
3,350,000 | 2,282,646 | ||||||
2.000% due 02/15/50 |
1,750,000 | 1,241,406 | ||||||
2.000% due 08/15/51 |
2,500,000 | 1,759,619 | ||||||
2.250% due 08/15/46 |
1,950,000 | 1,473,164 | ||||||
2.250% due 02/15/52 |
7,500,000 | 5,596,582 | ||||||
2.500% due 02/15/46 |
6,500,000 | 5,168,008 | ||||||
2.750% due 11/15/47 |
3,500,000 | 2,914,365 | ||||||
2.875% due 05/15/52 |
3,250,000 | 2,781,607 | ||||||
3.000% due 08/15/52 |
10,000,000 | 8,787,500 | ||||||
3.625% due 02/15/53 |
23,000,000 | 22,840,078 | ||||||
3.875% due 02/15/43 |
15,000,000 | 15,137,109 | ||||||
4.000% due 11/15/42 |
500,000 | 513,750 | ||||||
|
|
|||||||
82,315,649 | ||||||||
|
|
|||||||
U.S. Treasury Notes - 8.3% |
||||||||
0.625% due 05/15/30 |
8,500,000 | 6,961,035 | ||||||
1.125% due 02/15/31 |
1,000,000 | 842,403 | ||||||
1.875% due 02/28/29 |
21,000,000 | 19,084,160 | ||||||
2.125% due 03/31/24 |
2,000,000 | 1,951,969 | ||||||
2.750% due 08/15/32 |
9,000,000 | 8,471,953 | ||||||
3.500% due 02/15/33 |
15,000,000 | 15,024,609 | ||||||
4.000% due 02/29/28 |
17,000,000 | 17,308,789 | ||||||
|
|
|||||||
69,644,918 | ||||||||
|
|
|||||||
Total U.S. Treasury Obligations |
|
151,960,567 | ||||||
|
|
|||||||
SHORT-TERM INVESTMENT - 9.6% |
||||||||
Repurchase Agreement - 9.6% |
||||||||
Fixed Income Clearing Corp. |
80,074,172 | 80,074,172 | ||||||
|
|
|||||||
Total Short-Term Investment |
|
80,074,172 | ||||||
|
|
|||||||
TOTAL INVESTMENTS - 104.7% |
|
872,832,775 | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (4.7%) |
|
(38,789,557 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
|
$834,043,218 | ||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
5
PACIFIC SELECT FUND
CORE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Corporate Bonds & Notes |
$417,626,686 | $- | $417,626,686 | $- | |||||||||||||
Senior Loan Notes |
91,942,312 | - | 91,942,312 | - | ||||||||||||||
Mortgage-Backed Securities |
8,181,948 | - | 8,181,948 | - | ||||||||||||||
Asset-Backed Securities |
123,047,090 | - | 123,047,090 | - | ||||||||||||||
U.S. Treasury Obligations |
151,960,567 | - | 151,960,567 | - | ||||||||||||||
Short-Term Investment |
80,074,172 | - | 80,074,172 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$872,832,775 | $- | $872,832,775 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
6
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
CORPORATE BONDS & NOTES - 39.7% |
| |||||||
Basic Materials - 1.4% |
||||||||
Anglo American Capital PLC (South Africa) |
||||||||
3.625% due 09/11/24 ~ |
$500,000 | $488,240 | ||||||
4.000% due 09/11/27 ~ |
1,080,000 | 1,027,172 | ||||||
4.750% due 04/10/27 ~ |
750,000 | 734,824 | ||||||
ArcelorMittal SA (Luxembourg) |
630,000 | 663,152 | ||||||
Barrick North America Finance LLC (Canada) |
||||||||
5.700% due 05/30/41 |
823,000 | 865,190 | ||||||
5.750% due 05/01/43 |
550,000 | 580,140 | ||||||
BHP Billiton Finance USA Ltd. (Australia) 5.000% due 09/30/43 |
720,000 | 730,045 | ||||||
Equate Petrochemical BV (Kuwait) |
1,260,000 | 1,225,288 | ||||||
Freeport-McMoRan, Inc. |
||||||||
4.550% due 11/14/24 |
120,000 | 119,447 | ||||||
4.625% due 08/01/30 |
500,000 | 472,864 | ||||||
5.450% due 03/15/43 |
2,310,000 | 2,163,351 | ||||||
Glencore Funding LLC (Australia) |
||||||||
4.000% due 03/27/27 ~ |
1,730,000 | 1,668,148 | ||||||
4.125% due 05/30/23 ~ |
130,000 | 129,538 | ||||||
4.125% due 03/12/24 ~ |
1,070,000 | 1,058,846 | ||||||
4.625% due 04/29/24 ~ |
2,000,000 | 1,978,393 | ||||||
OCP SA (Morocco) |
||||||||
3.750% due 06/23/31 ~ |
970,000 | 797,195 | ||||||
4.500% due 10/22/25 ~ |
1,170,000 | 1,137,568 | ||||||
5.125% due 06/23/51 ~ |
950,000 | 694,528 | ||||||
Orbia Advance Corp. SAB de CV (Mexico) |
||||||||
1.875% due 05/11/26 ~ |
2,050,000 | 1,827,838 | ||||||
2.875% due 05/11/31 ~ |
2,140,000 | 1,720,260 | ||||||
Southern Copper Corp. (Mexico) |
2,340,000 | 2,241,949 | ||||||
Suzano Austria GmbH (Brazil) |
||||||||
3.125% due 01/15/32 |
1,560,000 | 1,277,667 | ||||||
3.750% due 01/15/31 |
2,420,000 | 2,107,874 | ||||||
Teck Resources Ltd. (Canada) |
90,000 | 91,120 | ||||||
Vale Overseas Ltd. (Brazil) |
993,000 | 1,038,917 | ||||||
Yamana Gold, Inc. (Canada) |
1,810,000 | 1,731,475 | ||||||
|
|
|||||||
28,571,029 | ||||||||
|
|
|||||||
Communications - 5.1% |
||||||||
Alphabet, Inc. |
||||||||
1.100% due 08/15/30 |
690,000 | 565,139 | ||||||
1.900% due 08/15/40 |
960,000 | 673,734 | ||||||
2.050% due 08/15/50 |
230,000 | 146,424 | ||||||
Altice France SA (France) |
450,000 | 344,500 | ||||||
Amazon.com, Inc. |
||||||||
0.800% due 06/03/25 |
720,000 | 670,180 | ||||||
1.200% due 06/03/27 |
1,720,000 | 1,527,611 | ||||||
1.500% due 06/03/30 |
1,310,000 | 1,089,643 | ||||||
2.100% due 05/12/31 |
1,120,000 | 957,837 | ||||||
2.500% due 06/03/50 |
690,000 | 468,270 | ||||||
3.150% due 08/22/27 |
1,070,000 | 1,031,339 | ||||||
3.300% due 04/13/27 |
530,000 | 513,189 | ||||||
3.450% due 04/13/29 |
1,130,000 | 1,087,822 | ||||||
3.600% due 04/13/32 |
830,000 | 788,950 | ||||||
3.875% due 08/22/37 |
800,000 | 745,176 | ||||||
4.050% due 08/22/47 |
1,720,000 | 1,562,664 | ||||||
4.250% due 08/22/57 |
390,000 | 355,819 | ||||||
4.950% due 12/05/44 |
190,000 | 196,036 | ||||||
AT&T, Inc. |
||||||||
1.650% due 02/01/28 |
1,430,000 | 1,256,810 |
Principal |
Value |
|||||||
2.250% due 02/01/32 |
$ 250,000 | $ 204,488 | ||||||
2.300% due 06/01/27 |
1,990,000 | 1,824,278 | ||||||
2.550% due 12/01/33 |
510,000 | 410,505 | ||||||
3.500% due 09/15/53 |
730,000 | 530,928 | ||||||
3.550% due 09/15/55 |
2,244,000 | 1,613,603 | ||||||
3.650% due 09/15/59 |
550,000 | 393,724 | ||||||
3.800% due 12/01/57 |
180,000 | 133,939 | ||||||
4.350% due 03/01/29 |
900,000 | 881,579 | ||||||
4.350% due 06/15/45 |
744,000 | 638,224 | ||||||
5.350% due 09/01/40 |
490,000 | 486,490 | ||||||
5.550% due 08/15/41 |
550,000 | 559,550 | ||||||
Charter Communications Operating LLC/Charter Communications Operating Capital |
| |||||||
3.500% due 03/01/42 |
370,000 | 250,302 | ||||||
4.200% due 03/15/28 |
2,020,000 | 1,913,032 | ||||||
4.400% due 04/01/33 |
380,000 | 337,523 | ||||||
4.800% due 03/01/50 |
230,000 | 175,533 | ||||||
4.908% due 07/23/25 |
1,970,000 | 1,951,135 | ||||||
5.125% due 07/01/49 |
330,000 | 261,553 | ||||||
5.375% due 04/01/38 |
1,590,000 | 1,387,679 | ||||||
5.375% due 05/01/47 |
200,000 | 165,207 | ||||||
5.750% due 04/01/48 |
240,000 | 207,363 | ||||||
6.384% due 10/23/35 |
270,000 | 269,223 | ||||||
6.484% due 10/23/45 |
650,000 | 616,510 | ||||||
6.834% due 10/23/55 |
370,000 | 360,020 | ||||||
Comcast Corp. |
||||||||
2.800% due 01/15/51 |
620,000 | 419,392 | ||||||
2.937% due 11/01/56 |
254,000 | 169,371 | ||||||
3.150% due 03/01/26 |
490,000 | 475,416 | ||||||
3.250% due 11/01/39 |
190,000 | 154,383 | ||||||
3.300% due 04/01/27 |
1,510,000 | 1,452,296 | ||||||
3.400% due 04/01/30 |
1,000,000 | 935,465 | ||||||
3.400% due 07/15/46 |
170,000 | 132,064 | ||||||
3.450% due 02/01/50 |
240,000 | 185,695 | ||||||
3.750% due 04/01/40 |
260,000 | 223,540 | ||||||
3.950% due 10/15/25 |
1,560,000 | 1,543,121 | ||||||
3.969% due 11/01/47 |
4,290,000 | 3,613,354 | ||||||
3.999% due 11/01/49 |
240,000 | 201,896 | ||||||
4.000% due 08/15/47 |
340,000 | 288,832 | ||||||
4.000% due 03/01/48 |
270,000 | 228,922 | ||||||
4.150% due 10/15/28 |
2,240,000 | 2,216,964 | ||||||
4.250% due 10/15/30 |
1,630,000 | 1,598,000 | ||||||
4.950% due 10/15/58 |
140,000 | 135,777 | ||||||
5.650% due 06/15/35 |
290,000 | 311,559 | ||||||
6.500% due 11/15/35 |
307,000 | 353,477 | ||||||
CSC Holdings LLC |
||||||||
3.375% due 02/15/31 ~ |
330,000 | 228,591 | ||||||
4.125% due 12/01/30 ~ |
5,860,000 | 4,213,897 | ||||||
4.500% due 11/15/31 ~ |
3,060,000 | 2,209,228 | ||||||
DISH DBS Corp. |
||||||||
5.125% due 06/01/29 |
1,120,000 | 597,610 | ||||||
5.250% due 12/01/26 ~ |
690,000 | 551,841 | ||||||
5.875% due 11/15/24 |
1,361,000 | 1,215,101 | ||||||
7.750% due 07/01/26 |
690,000 | 456,114 | ||||||
FOX Corp. |
1,010,000 | 968,274 | ||||||
Prosus NV (China) |
||||||||
3.061% due 07/13/31 ~ |
4,880,000 | 3,848,509 | ||||||
3.832% due 02/08/51 ~ |
450,000 | 289,324 | ||||||
4.027% due 08/03/50 ~ |
2,450,000 | 1,613,292 | ||||||
Sprint Capital Corp. |
1,420,000 | 1,730,355 | ||||||
Sprint LLC |
||||||||
7.625% due 02/15/25 |
910,000 | 944,458 | ||||||
7.875% due 09/15/23 |
40,000 | 40,332 | ||||||
T-Mobile USA, Inc. |
||||||||
2.250% due 02/15/26 |
410,000 | 381,694 | ||||||
2.550% due 02/15/31 |
2,510,000 | 2,128,523 | ||||||
2.625% due 02/15/29 |
1,290,000 | 1,137,794 | ||||||
2.875% due 02/15/31 |
950,000 | 820,523 | ||||||
3.000% due 02/15/41 |
330,000 | 244,923 | ||||||
3.375% due 04/15/29 |
480,000 | 438,042 | ||||||
3.500% due 04/15/25 |
3,080,000 | 2,995,556 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
7
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
3.500% due 04/15/31 |
$ 2,920,000 | $ 2,628,507 | ||||||
3.750% due 04/15/27 |
330,000 | 317,431 | ||||||
3.875% due 04/15/30 |
2,600,000 | 2,441,665 | ||||||
Telefonica Emisiones SA (Spain) |
1,050,000 | 950,884 | ||||||
Tencent Holdings Ltd. (China) |
910,000 | 662,558 | ||||||
Time Warner Cable Enterprises LLC |
990,000 | 1,128,263 | ||||||
Time Warner Cable LLC |
||||||||
5.500% due 09/01/41 |
250,000 | 216,255 | ||||||
6.550% due 05/01/37 |
520,000 | 513,062 | ||||||
6.750% due 06/15/39 |
1,310,000 | 1,291,632 | ||||||
7.300% due 07/01/38 |
2,580,000 | 2,679,788 | ||||||
Verizon Communications, Inc. |
||||||||
1.750% due 01/20/31 |
1,620,000 | 1,307,386 | ||||||
2.100% due 03/22/28 |
970,000 | 864,460 | ||||||
2.355% due 03/15/32 |
1,522,000 | 1,249,379 | ||||||
2.550% due 03/21/31 |
1,050,000 | 894,938 | ||||||
2.625% due 08/15/26 |
1,970,000 | 1,863,391 | ||||||
2.650% due 11/20/40 |
1,400,000 | 1,000,737 | ||||||
2.875% due 11/20/50 |
2,740,000 | 1,825,218 | ||||||
3.150% due 03/22/30 |
860,000 | 783,847 | ||||||
3.850% due 11/01/42 |
960,000 | 803,887 | ||||||
4.000% due 03/22/50 |
610,000 | 508,592 | ||||||
4.125% due 03/16/27 |
286,000 | 283,660 | ||||||
4.125% due 08/15/46 |
980,000 | 838,543 | ||||||
4.329% due 09/21/28 |
715,000 | 707,147 | ||||||
4.400% due 11/01/34 |
1,750,000 | 1,664,325 | ||||||
4.500% due 08/10/33 |
5,540,000 | 5,355,864 | ||||||
4.862% due 08/21/46 |
630,000 | 600,387 | ||||||
5.500% due 03/16/47 |
250,000 | 252,758 | ||||||
|
|
|||||||
104,881,600 | ||||||||
|
|
|||||||
Consumer, Cyclical - 3.8% |
||||||||
Costco Wholesale Corp. |
||||||||
1.375% due 06/20/27 |
1,480,000 | 1,327,786 | ||||||
1.600% due 04/20/30 |
1,160,000 | 985,398 | ||||||
Delta Air Lines, Inc./SkyMiles IP Ltd. |
||||||||
4.500% due 10/20/25 ~ |
1,649,990 | 1,623,323 | ||||||
4.750% due 10/20/28 ~ |
1,650,000 | 1,593,649 | ||||||
Ford Motor Co. |
||||||||
4.750% due 01/15/43 |
300,000 | 230,466 | ||||||
6.100% due 08/19/32 |
1,000,000 | 970,461 | ||||||
Ford Motor Credit Co. LLC |
||||||||
2.900% due 02/16/28 |
650,000 | 559,637 | ||||||
3.625% due 06/17/31 |
1,770,000 | 1,460,843 | ||||||
3.664% due 09/08/24 |
270,000 | 259,456 | ||||||
4.000% due 11/13/30 |
4,360,000 | 3,710,827 | ||||||
4.125% due 08/17/27 |
1,590,000 | 1,458,992 | ||||||
5.113% due 05/03/29 |
300,000 | 282,062 | ||||||
5.125% due 06/16/25 |
760,000 | 744,986 | ||||||
7.350% due 11/04/27 |
1,390,000 | 1,435,189 | ||||||
7.350% due 03/06/30 |
480,000 | 493,680 | ||||||
General Motors Co. |
||||||||
5.150% due 04/01/38 |
440,000 | 397,292 | ||||||
5.600% due 10/15/32 |
590,000 | 578,265 | ||||||
5.950% due 04/01/49 |
660,000 | 613,797 | ||||||
6.125% due 10/01/25 |
140,000 | 142,730 | ||||||
6.250% due 10/02/43 |
570,000 | 548,716 | ||||||
General Motors Financial Co., Inc. |
||||||||
4.250% due 05/15/23 |
1,250,000 | 1,247,803 | ||||||
4.350% due 01/17/27 |
520,000 | 504,309 | ||||||
H&E Equipment Services, Inc. |
270,000 | 236,925 | ||||||
Home Depot, Inc. |
||||||||
2.500% due 04/15/27 |
730,000 | 685,585 | ||||||
2.700% due 04/15/30 |
860,000 | 776,860 | ||||||
3.300% due 04/15/40 |
480,000 | 399,539 | ||||||
3.350% due 04/15/50 |
1,490,000 | 1,154,969 | ||||||
3.900% due 12/06/28 |
190,000 | 187,268 |
Principal |
Value |
|||||||
3.900% due 06/15/47 |
$ 210,000 | $ 180,830 | ||||||
Las Vegas Sands Corp. |
||||||||
2.900% due 06/25/25 |
5,000,000 | 4,754,163 | ||||||
3.200% due 08/08/24 |
3,400,000 | 3,291,395 | ||||||
Lennar Corp. |
||||||||
4.500% due 04/30/24 |
1,040,000 | 1,027,856 | ||||||
4.750% due 05/30/25 |
200,000 | 197,163 | ||||||
Lowes Cos., Inc. |
500,000 | 494,336 | ||||||
McDonalds Corp. |
||||||||
1.450% due 09/01/25 |
260,000 | 242,246 | ||||||
3.300% due 07/01/25 |
580,000 | 568,314 | ||||||
3.500% due 07/01/27 |
1,390,000 | 1,347,137 | ||||||
3.600% due 07/01/30 |
730,000 | 692,900 | ||||||
3.625% due 09/01/49 |
190,000 | 152,435 | ||||||
3.700% due 01/30/26 |
1,220,000 | 1,199,862 | ||||||
3.800% due 04/01/28 |
740,000 | 726,677 | ||||||
4.200% due 04/01/50 |
1,320,000 | 1,165,672 | ||||||
MDC Holdings, Inc. |
90,000 | 78,327 | ||||||
Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd. |
1,138,988 | 1,136,442 | ||||||
New Red Finance, Inc. (Canada) |
||||||||
3.500% due 02/15/29 ~ |
1,540,000 | 1,380,287 | ||||||
3.875% due 01/15/28 ~ |
1,550,000 | 1,443,004 | ||||||
Newell Brands, Inc. |
10,000 | 9,636 | ||||||
NIKE, Inc. |
||||||||
2.750% due 03/27/27 |
1,060,000 | 1,005,980 | ||||||
3.250% due 03/27/40 |
750,000 | 633,267 | ||||||
3.375% due 03/27/50 |
970,000 | 800,603 | ||||||
Nissan Motor Co. Ltd. (Japan) |
||||||||
3.043% due 09/15/23 ~ |
1,040,000 | 1,024,631 | ||||||
3.522% due 09/17/25 ~ |
2,700,000 | 2,559,584 | ||||||
4.345% due 09/17/27 ~ |
2,620,000 | 2,473,185 | ||||||
Sands China Ltd. (Macau) |
||||||||
2.800% due 03/08/27 |
1,590,000 | 1,365,387 | ||||||
3.350% due 03/08/29 |
2,010,000 | 1,671,282 | ||||||
4.300% due 01/08/26 |
950,000 | 892,798 | ||||||
5.625% due 08/08/25 |
3,980,000 | 3,882,653 | ||||||
5.900% due 08/08/28 |
1,010,000 | 959,623 | ||||||
Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd. |
1,409,999 | 1,414,828 | ||||||
Target Corp. |
990,000 | 951,594 | ||||||
Toll Brothers Finance Corp. |
770,000 | 769,898 | ||||||
United Airlines, Inc. |
||||||||
4.375% due 04/15/26 ~ |
90,000 | 86,209 | ||||||
4.625% due 04/15/29 ~ |
1,870,000 | 1,693,886 | ||||||
VOC Escrow Ltd. |
1,320,000 | 1,173,011 | ||||||
Walmart, Inc. |
||||||||
1.500% due 09/22/28 |
390,000 | 341,595 | ||||||
1.800% due 09/22/31 |
450,000 | 380,877 | ||||||
Warnermedia Holdings, Inc. |
||||||||
3.755% due 03/15/27 ~ |
570,000 | 537,267 | ||||||
4.054% due 03/15/29 ~ |
730,000 | 679,572 | ||||||
4.279% due 03/15/32 ~ |
3,740,000 | 3,341,761 | ||||||
5.141% due 03/15/52 ~ |
2,400,000 | 1,947,230 | ||||||
6.412% due 03/15/26 |
1,060,000 | 1,065,673 | ||||||
Wynn Macau Ltd. (Macau) |
||||||||
5.125% due 12/15/29 ~ |
340,000 | 278,870 | ||||||
5.625% due 08/26/28 ~ |
2,500,000 | 2,129,049 | ||||||
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp. |
| |||||||
5.125% due 10/01/29 ~ |
150,000 | 136,424 | ||||||
7.125% due 02/15/31 ~ |
820,000 | 832,521 | ||||||
|
|
|||||||
79,728,753 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
8
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Consumer, Non-Cyclical - 6.2% |
||||||||
Abbott Laboratories |
||||||||
3.750% due 11/30/26 |
$ 885,000 | $ 879,273 | ||||||
4.750% due 11/30/36 |
1,000,000 | 1,039,769 | ||||||
4.900% due 11/30/46 |
760,000 | 782,567 | ||||||
AbbVie, Inc. |
||||||||
2.600% due 11/21/24 |
2,660,000 | 2,568,176 | ||||||
2.950% due 11/21/26 |
1,110,000 | 1,056,866 | ||||||
3.200% due 11/21/29 |
2,700,000 | 2,506,697 | ||||||
3.600% due 05/14/25 |
1,600,000 | 1,570,121 | ||||||
3.750% due 11/14/23 |
370,000 | 366,472 | ||||||
3.800% due 03/15/25 |
2,430,000 | 2,391,520 | ||||||
4.250% due 11/21/49 |
1,930,000 | 1,704,914 | ||||||
Aetna, Inc. |
540,000 | 537,471 | ||||||
Altria Group, Inc. |
||||||||
2.350% due 05/06/25 |
2,240,000 | 2,127,876 | ||||||
2.450% due 02/04/32 |
470,000 | 370,330 | ||||||
3.400% due 02/04/41 |
2,610,000 | 1,848,534 | ||||||
3.875% due 09/16/46 |
820,000 | 591,135 | ||||||
4.400% due 02/14/26 |
1,988,000 | 1,973,844 | ||||||
5.800% due 02/14/39 |
250,000 | 244,449 | ||||||
5.950% due 02/14/49 |
2,440,000 | 2,312,095 | ||||||
6.200% due 02/14/59 |
270,000 | 264,833 | ||||||
Amgen, Inc. |
||||||||
3.625% due 05/22/24 |
410,000 | 404,335 | ||||||
4.663% due 06/15/51 |
289,000 | 262,853 | ||||||
Anheuser-Busch Cos., LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium) |
| |||||||
3.650% due 02/01/26 |
410,000 | 402,673 | ||||||
4.900% due 02/01/46 |
580,000 | 567,555 | ||||||
Anheuser-Busch InBev Worldwide, Inc. (Belgium) |
|
|||||||
3.500% due 06/01/30 |
1,640,000 | 1,547,253 | ||||||
4.000% due 04/13/28 |
1,010,000 | 999,192 | ||||||
4.350% due 06/01/40 |
1,540,000 | 1,431,677 | ||||||
4.750% due 01/23/29 |
590,000 | 602,852 | ||||||
5.550% due 01/23/49 |
1,850,000 | 1,986,284 | ||||||
BAT Capital Corp. (United Kingdom) |
||||||||
3.557% due 08/15/27 |
3,890,000 | 3,618,796 | ||||||
4.540% due 08/15/47 |
950,000 | 708,725 | ||||||
Bausch Health Americas, Inc. |
750,000 | 557,186 | ||||||
Bausch Health Cos., Inc. |
||||||||
5.000% due 02/15/29 ~ |
2,560,000 | 1,005,555 | ||||||
5.250% due 01/30/30 ~ |
7,880,000 | 2,950,075 | ||||||
6.250% due 02/15/29 ~ |
2,740,000 | 1,097,069 | ||||||
7.250% due 05/30/29 ~ |
800,000 | 307,108 | ||||||
Becton Dickinson & Co. |
||||||||
3.363% due 06/06/24 |
1,400,000 | 1,374,666 | ||||||
3.734% due 12/15/24 |
272,000 | 266,070 | ||||||
4.685% due 12/15/44 |
714,000 | 665,291 | ||||||
Bristol-Myers Squibb Co. |
||||||||
3.200% due 06/15/26 |
959,000 | 927,404 | ||||||
3.400% due 07/26/29 |
473,000 | 450,188 | ||||||
Centene Corp. |
||||||||
3.375% due 02/15/30 |
370,000 | 323,137 | ||||||
4.625% due 12/15/29 |
380,000 | 357,633 | ||||||
Cigna Group |
||||||||
3.750% due 07/15/23 |
2,027,000 | 2,017,346 | ||||||
4.125% due 11/15/25 |
1,010,000 | 994,147 | ||||||
4.375% due 10/15/28 |
3,500,000 | 3,450,928 | ||||||
4.900% due 12/15/48 |
2,350,000 | 2,213,379 | ||||||
Coca-Cola Co. |
||||||||
1.450% due 06/01/27 |
700,000 | 635,901 | ||||||
2.500% due 06/01/40 |
70,000 | 53,779 | ||||||
2.600% due 06/01/50 |
370,000 | 265,446 | ||||||
3.375% due 03/25/27 |
1,180,000 | 1,161,106 | ||||||
CommonSpirit Health |
420,000 | 362,864 | ||||||
Constellation Brands, Inc. |
||||||||
2.250% due 08/01/31 |
220,000 | 180,877 | ||||||
3.600% due 05/09/24 |
620,000 | 612,163 | ||||||
4.350% due 05/09/27 |
640,000 | 631,661 |
Principal |
Value |
|||||||
CVS Health Corp. |
||||||||
1.875% due 02/28/31 |
$ 430,000 | $ 348,495 | ||||||
2.125% due 09/15/31 |
910,000 | 744,472 | ||||||
3.625% due 04/01/27 |
550,000 | 530,284 | ||||||
3.750% due 04/01/30 |
670,000 | 627,328 | ||||||
3.875% due 07/20/25 |
1,278,000 | 1,255,631 | ||||||
4.125% due 04/01/40 |
580,000 | 499,361 | ||||||
4.250% due 04/01/50 |
180,000 | 150,612 | ||||||
5.050% due 03/25/48 |
4,440,000 | 4,157,922 | ||||||
5.125% due 07/20/45 |
1,440,000 | 1,367,317 | ||||||
CVS Pass-Through Trust |
||||||||
5.298% due 01/11/27 ~ |
262,510 | 260,572 | ||||||
6.036% due 12/10/28 |
1,633,642 | 1,668,161 | ||||||
Danone SA (France) |
2,730,000 | 2,688,877 | ||||||
DP World PLC (United Arab Emirates) |
2,090,000 | 2,027,645 | ||||||
Elevance Health, Inc. |
||||||||
3.350% due 12/01/24 |
560,000 | 547,005 | ||||||
3.650% due 12/01/27 |
460,000 | 444,753 | ||||||
4.100% due 05/15/32 |
450,000 | 430,690 | ||||||
4.550% due 05/15/52 |
720,000 | 651,050 | ||||||
Gilead Sciences, Inc. |
||||||||
3.650% due 03/01/26 |
730,000 | 714,973 | ||||||
4.750% due 03/01/46 |
920,000 | 885,403 | ||||||
HCA, Inc. |
||||||||
3.500% due 09/01/30 |
450,000 | 401,113 | ||||||
4.500% due 02/15/27 |
110,000 | 107,505 | ||||||
5.000% due 03/15/24 |
1,333,000 | 1,325,523 | ||||||
5.250% due 06/15/26 |
180,000 | 180,267 | ||||||
5.375% due 02/01/25 |
517,000 | 517,550 | ||||||
5.375% due 09/01/26 |
440,000 | 441,869 | ||||||
5.500% due 06/15/47 |
450,000 | 423,107 | ||||||
5.625% due 09/01/28 |
200,000 | 202,482 | ||||||
5.875% due 02/01/29 |
630,000 | 644,118 | ||||||
Hershey Co. |
340,000 | 314,129 | ||||||
Humana, Inc. |
||||||||
3.950% due 03/15/27 |
661,000 | 640,349 | ||||||
4.500% due 04/01/25 |
300,000 | 297,523 | ||||||
4.625% due 12/01/42 |
1,090,000 | 985,644 | ||||||
4.800% due 03/15/47 |
130,000 | 118,878 | ||||||
Johnson & Johnson |
2,090,000 | 1,934,434 | ||||||
Kenvue, Inc. |
1,900,000 | 1,963,815 | ||||||
Kraft Heinz Foods Co. |
||||||||
3.000% due 06/01/26 |
587,000 | 561,107 | ||||||
4.250% due 03/01/31 |
420,000 | 406,683 | ||||||
4.375% due 06/01/46 |
560,000 | 488,368 | ||||||
4.625% due 10/01/39 |
30,000 | 27,531 | ||||||
5.000% due 06/04/42 |
210,000 | 201,590 | ||||||
5.200% due 07/15/45 |
990,000 | 960,804 | ||||||
5.500% due 06/01/50 |
830,000 | 841,164 | ||||||
6.750% due 03/15/32 |
50,000 | 56,018 | ||||||
6.875% due 01/26/39 |
140,000 | 158,793 | ||||||
7.125% due 08/01/39 ~ |
30,000 | 34,341 | ||||||
Mars, Inc. |
||||||||
2.700% due 04/01/25 ~ |
900,000 | 866,401 | ||||||
3.200% due 04/01/30 ~ |
590,000 | 543,791 | ||||||
Merck & Co., Inc. |
800,000 | 661,708 | ||||||
Mondelez International, Inc. |
1,540,000 | 1,442,101 | ||||||
PayPal Holdings, Inc. |
630,000 | 591,666 | ||||||
PepsiCo, Inc. |
||||||||
0.750% due 05/01/23 |
1,350,000 | 1,345,537 | ||||||
1.625% due 05/01/30 |
620,000 | 524,997 | ||||||
2.250% due 03/19/25 |
190,000 | 183,455 | ||||||
2.625% due 03/19/27 |
190,000 | 179,688 | ||||||
2.875% due 10/15/49 |
400,000 | 304,727 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
9
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Pfizer, Inc. |
||||||||
0.800% due 05/28/25 |
$ 20,000 | $ 18,560 | ||||||
1.700% due 05/28/30 |
620,000 | 522,292 | ||||||
2.625% due 04/01/30 |
780,000 | 704,497 | ||||||
Philip Morris International, Inc. |
||||||||
1.125% due 05/01/23 |
980,000 | 976,994 | ||||||
2.100% due 05/01/30 |
260,000 | 216,246 | ||||||
Procter & Gamble Co. |
||||||||
2.800% due 03/25/27 |
300,000 | 286,278 | ||||||
3.000% due 03/25/30 |
650,000 | 609,982 | ||||||
Reynolds American, Inc. (United Kingdom) |
1,090,000 | 984,295 | ||||||
Service Corp. International |
510,000 | 529,019 | ||||||
Teva Pharmaceutical Finance Co. LLC (Israel) |
280,000 | 254,566 | ||||||
Teva Pharmaceutical Finance Netherlands III BV (Israel) |
||||||||
2.800% due 07/21/23 |
377,000 | 372,907 | ||||||
3.150% due 10/01/26 |
7,115,000 | 6,446,048 | ||||||
4.100% due 10/01/46 |
1,800,000 | 1,201,059 | ||||||
4.750% due 05/09/27 |
730,000 | 682,315 | ||||||
5.125% due 05/09/29 |
5,940,000 | 5,386,431 | ||||||
7.125% due 01/31/25 |
1,140,000 | 1,164,521 | ||||||
8.125% due 09/15/31 |
540,000 | 567,513 | ||||||
UnitedHealth Group, Inc. |
||||||||
1.250% due 01/15/26 |
590,000 | 541,822 | ||||||
2.000% due 05/15/30 |
560,000 | 479,031 | ||||||
2.300% due 05/15/31 |
320,000 | 274,369 | ||||||
3.125% due 05/15/60 |
200,000 | 140,248 | ||||||
3.500% due 06/15/23 |
540,000 | 538,632 | ||||||
3.875% due 08/15/59 |
570,000 | 467,233 | ||||||
4.000% due 05/15/29 |
720,000 | 704,791 | ||||||
4.200% due 05/15/32 |
380,000 | 372,691 | ||||||
4.250% due 06/15/48 |
420,000 | 378,655 | ||||||
4.450% due 12/15/48 |
410,000 | 380,470 | ||||||
5.700% due 10/15/40 |
10,000 | 10,859 | ||||||
5.800% due 03/15/36 |
860,000 | 939,694 | ||||||
|
|
|||||||
127,561,461 | ||||||||
|
|
|||||||
Energy - 6.1% |
||||||||
BP Capital Markets America, Inc. |
||||||||
3.000% due 02/24/50 |
2,570,000 | 1,822,923 | ||||||
3.119% due 05/04/26 |
920,000 | 885,818 | ||||||
3.410% due 02/11/26 |
1,200,000 | 1,170,038 | ||||||
3.633% due 04/06/30 |
540,000 | 512,738 | ||||||
Cameron LNG LLC |
||||||||
2.902% due 07/15/31 ~ |
540,000 | 480,637 | ||||||
3.302% due 01/15/35 ~ |
1,730,000 | 1,490,474 | ||||||
Cheniere Energy Partners LP |
||||||||
3.250% due 01/31/32 |
1,340,000 | 1,108,301 | ||||||
4.000% due 03/01/31 |
400,000 | 356,392 | ||||||
Cheniere Energy, Inc. |
1,020,000 | 970,469 | ||||||
Chevron Corp. |
||||||||
1.554% due 05/11/25 |
600,000 | 566,059 | ||||||
1.995% due 05/11/27 |
720,000 | 659,831 | ||||||
3.078% due 05/11/50 |
220,000 | 166,852 | ||||||
Chevron USA, Inc. |
1,110,000 | 1,096,418 | ||||||
ConocoPhillips |
370,000 | 430,458 | ||||||
Continental Resources, Inc. |
||||||||
2.268% due 11/15/26 ~ |
560,000 | 497,852 | ||||||
3.800% due 06/01/24 |
730,000 | 715,713 | ||||||
4.375% due 01/15/28 |
660,000 | 622,573 | ||||||
4.500% due 04/15/23 |
1,180,000 | 1,178,541 | ||||||
4.900% due 06/01/44 |
290,000 | 224,876 | ||||||
5.750% due 01/15/31 ~ |
1,300,000 | 1,250,106 |
Principal |
Value |
|||||||
Coterra Energy, Inc. |
||||||||
3.900% due 05/15/27 |
$ 1,620,000 | $ 1,547,260 | ||||||
4.375% due 03/15/29 |
1,710,000 | 1,627,569 | ||||||
Devon Energy Corp. |
||||||||
4.750% due 05/15/42 |
70,000 | 61,030 | ||||||
5.000% due 06/15/45 |
2,910,000 | 2,590,619 | ||||||
5.600% due 07/15/41 |
1,240,000 | 1,189,534 | ||||||
8.250% due 08/01/23 |
3,290,000 | 3,304,192 | ||||||
Diamondback Energy, Inc. |
2,320,000 | 2,122,621 | ||||||
Ecopetrol SA (Colombia) |
||||||||
4.625% due 11/02/31 |
850,000 | 654,745 | ||||||
5.875% due 05/28/45 |
3,880,000 | 2,696,600 | ||||||
Energy Transfer LP |
||||||||
2.900% due 05/15/25 |
1,010,000 | 963,036 | ||||||
3.750% due 05/15/30 |
2,010,000 | 1,856,626 | ||||||
4.950% due 06/15/28 |
680,000 | 675,864 | ||||||
5.250% due 04/15/29 |
410,000 | 408,826 | ||||||
5.300% due 04/01/44 |
160,000 | 141,855 | ||||||
5.400% due 10/01/47 |
590,000 | 525,319 | ||||||
6.250% due 04/15/49 |
1,030,000 | 1,022,385 | ||||||
6.750% due 05/15/25 |
1,950,000 | 1,723,516 | ||||||
7.125% due 05/15/30 |
890,000 | 750,715 | ||||||
7.600% due 02/01/24 |
1,560,000 | 1,575,205 | ||||||
8.892% (USD LIBOR + 4.028%) due 04/17/23 § |
390,000 | 347,352 | ||||||
Energy Transfer LP/Regency Energy Finance Corp. |
520,000 | 515,589 | ||||||
Enterprise Products Operating LLC |
||||||||
2.800% due 01/31/30 |
2,460,000 | 2,183,310 | ||||||
3.700% due 01/31/51 |
1,180,000 | 914,993 | ||||||
3.950% due 01/31/60 |
400,000 | 314,471 | ||||||
4.150% due 10/16/28 |
1,040,000 | 1,011,707 | ||||||
4.200% due 01/31/50 |
2,100,000 | 1,783,960 | ||||||
4.800% due 02/01/49 |
470,000 | 431,694 | ||||||
4.850% due 03/15/44 |
420,000 | 390,315 | ||||||
7.550% due 04/15/38 |
360,000 | 422,496 | ||||||
EOG Resources, Inc. |
||||||||
3.900% due 04/01/35 |
1,460,000 | 1,340,847 | ||||||
4.150% due 01/15/26 |
1,040,000 | 1,030,559 | ||||||
4.375% due 04/15/30 |
80,000 | 79,783 | ||||||
4.950% due 04/15/50 |
890,000 | 898,153 | ||||||
EQT Corp. |
||||||||
3.125% due 05/15/26 ~ |
50,000 | 46,293 | ||||||
3.625% due 05/15/31 ~ |
900,000 | 780,964 | ||||||
3.900% due 10/01/27 |
1,430,000 | 1,345,508 | ||||||
5.000% due 01/15/29 |
630,000 | 598,153 | ||||||
6.125% due 02/01/25 |
120,000 | 120,834 | ||||||
Exxon Mobil Corp. |
||||||||
1.571% due 04/15/23 |
170,000 | 169,748 | ||||||
2.992% due 03/19/25 |
1,910,000 | 1,860,546 | ||||||
3.043% due 03/01/26 |
750,000 | 728,376 | ||||||
3.482% due 03/19/30 |
1,300,000 | 1,243,532 | ||||||
4.114% due 03/01/46 |
2,150,000 | 1,941,627 | ||||||
4.327% due 03/19/50 |
220,000 | 203,459 | ||||||
Halliburton Co. |
79,000 | 77,450 | ||||||
KazMunayGas National Co. JSC (Kazakhstan) |
1,500,000 | 1,251,600 | ||||||
Kinder Morgan Energy Partners LP |
1,410,000 | 1,400,544 | ||||||
Kinder Morgan, Inc. |
||||||||
4.300% due 03/01/28 |
450,000 | 442,475 | ||||||
5.200% due 03/01/48 |
60,000 | 53,813 | ||||||
5.550% due 06/01/45 |
210,000 | 198,985 | ||||||
MPLX LP |
||||||||
4.500% due 04/15/38 |
1,510,000 | 1,343,540 | ||||||
4.700% due 04/15/48 |
520,000 | 437,478 | ||||||
4.800% due 02/15/29 |
930,000 | 922,197 | ||||||
4.875% due 12/01/24 |
1,190,000 | 1,183,103 | ||||||
5.200% due 03/01/47 |
70,000 | 62,815 | ||||||
5.500% due 02/15/49 |
730,000 | 680,303 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
10
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Occidental Petroleum Corp. |
||||||||
3.000% due 02/15/27 |
$ 870,000 | $ 797,703 | ||||||
4.100% due 02/15/47 |
2,510,000 | 1,916,027 | ||||||
4.200% due 03/15/48 |
1,200,000 | 931,842 | ||||||
4.400% due 04/15/46 |
510,000 | 404,958 | ||||||
4.625% due 06/15/45 |
1,280,000 | 1,027,265 | ||||||
6.450% due 09/15/36 |
1,610,000 | 1,694,525 | ||||||
7.875% due 09/15/31 |
2,702,000 | 3,037,602 | ||||||
Petrobras Global Finance BV (Brazil) |
||||||||
5.299% due 01/27/25 |
8,001,000 | 7,933,040 | ||||||
6.250% due 03/17/24 |
150,000 | 150,339 | ||||||
7.250% due 03/17/44 |
1,270,000 | 1,229,447 | ||||||
Petroleos Mexicanos (Mexico) |
||||||||
6.375% due 01/23/45 |
520,000 | 328,888 | ||||||
6.750% due 09/21/47 |
160,000 | 104,130 | ||||||
6.875% due 08/04/26 |
1,350,000 | 1,282,898 | ||||||
Pioneer Natural Resources Co. |
||||||||
1.125% due 01/15/26 |
410,000 | 372,827 | ||||||
1.900% due 08/15/30 |
780,000 | 635,470 | ||||||
2.150% due 01/15/31 |
1,020,000 | 838,323 | ||||||
Reliance Industries Ltd. (India) |
||||||||
2.875% due 01/12/32 ~ |
850,000 | 707,209 | ||||||
3.625% due 01/12/52 ~ |
2,500,000 | 1,770,120 | ||||||
Sabine Pass Liquefaction LLC |
730,000 | 731,930 | ||||||
Schlumberger Holdings Corp. |
1,232,000 | 1,185,508 | ||||||
Shell International Finance BV (Netherlands) |
||||||||
2.750% due 04/06/30 |
1,070,000 | 976,474 | ||||||
2.875% due 05/10/26 |
560,000 | 536,084 | ||||||
3.250% due 04/06/50 |
970,000 | 741,071 | ||||||
4.375% due 05/11/45 |
1,010,000 | 933,269 | ||||||
4.550% due 08/12/43 |
1,200,000 | 1,136,638 | ||||||
Sinopec Group Overseas Development Ltd. (China) |
1,790,000 | 1,779,511 | ||||||
Southwestern Energy Co. |
||||||||
4.750% due 02/01/32 |
770,000 | 681,026 | ||||||
5.375% due 02/01/29 |
60,000 | 56,619 | ||||||
5.375% due 03/15/30 |
250,000 | 235,330 | ||||||
Targa Resources Corp. |
||||||||
4.950% due 04/15/52 |
400,000 | 332,426 | ||||||
5.200% due 07/01/27 |
210,000 | 208,392 | ||||||
Targa Resources Partners LP/Targa Resources Partners Finance Corp. |
| |||||||
4.000% due 01/15/32 |
170,000 | 148,351 | ||||||
4.875% due 02/01/31 |
770,000 | 721,293 | ||||||
5.000% due 01/15/28 |
450,000 | 435,541 | ||||||
5.500% due 03/01/30 |
540,000 | 528,239 | ||||||
6.500% due 07/15/27 |
530,000 | 540,851 | ||||||
6.875% due 01/15/29 |
270,000 | 275,450 | ||||||
Tennessee Gas Pipeline Co. LLC |
4,600,000 | 3,989,711 | ||||||
Venture Global Calcasieu Pass LLC |
1,150,000 | 967,317 | ||||||
Western Midstream Operating LP |
||||||||
3.350% due 02/01/25 |
1,120,000 | 1,070,614 | ||||||
4.300% due 02/01/30 |
2,824,000 | 2,573,370 | ||||||
4.500% due 03/01/28 |
680,000 | 643,950 | ||||||
4.650% due 07/01/26 |
460,000 | 445,050 | ||||||
5.300% due 03/01/48 |
130,000 | 110,351 | ||||||
5.500% due 08/15/48 |
960,000 | 828,110 | ||||||
5.500% due 02/01/50 |
600,000 | 510,000 | ||||||
Williams Cos., Inc. |
||||||||
3.750% due 06/15/27 |
330,000 | 316,871 | ||||||
7.500% due 01/15/31 |
5,385,000 | 6,003,227 | ||||||
7.750% due 06/15/31 |
100,000 | 112,038 | ||||||
|
|
|||||||
125,320,383 | ||||||||
|
|
Principal |
Value |
|||||||
Financial - 13.5% |
||||||||
ABN AMRO Bank NV (Netherlands) |
$ 2,220,000 | $ 2,144,941 | ||||||
AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland) |
| |||||||
2.450% due 10/29/26 |
920,000 | 826,853 | ||||||
3.000% due 10/29/28 |
1,840,000 | 1,607,701 | ||||||
3.150% due 02/15/24 |
2,180,000 | 2,114,553 | ||||||
3.300% due 01/30/32 |
780,000 | 646,770 | ||||||
Air Lease Corp. |
||||||||
3.375% due 07/01/25 |
1,160,000 | 1,106,082 | ||||||
5.300% due 02/01/28 |
1,230,000 | 1,214,923 | ||||||
American Express Co. |
||||||||
3.375% due 05/03/24 |
1,180,000 | 1,157,180 | ||||||
4.050% due 05/03/29 |
1,150,000 | 1,122,259 | ||||||
American International Group, Inc. |
1,887,000 | 1,786,228 | ||||||
Banco Santander SA (Spain) |
||||||||
2.746% due 05/28/25 |
400,000 | 377,560 | ||||||
3.848% due 04/12/23 |
3,200,000 | 3,198,641 | ||||||
4.175% due 03/24/28 |
200,000 | 187,941 | ||||||
5.926% (USD LIBOR + 1.120%) due 04/12/23 § |
1,000,000 | 1,000,004 | ||||||
Bank of America Corp. |
||||||||
2.572% due 10/20/32 |
3,040,000 | 2,486,744 | ||||||
2.592% due 04/29/31 |
2,550,000 | 2,160,997 | ||||||
2.972% due 02/04/33 |
1,920,000 | 1,618,101 | ||||||
3.419% due 12/20/28 |
3,934,000 | 3,658,252 | ||||||
3.974% due 02/07/30 |
3,230,000 | 3,022,020 | ||||||
4.000% due 04/01/24 |
2,280,000 | 2,255,084 | ||||||
4.083% due 03/20/51 |
3,820,000 | 3,145,001 | ||||||
4.125% due 01/22/24 |
3,295,000 | 3,269,861 | ||||||
4.200% due 08/26/24 |
4,930,000 | 4,846,628 | ||||||
4.250% due 10/22/26 |
310,000 | 300,590 | ||||||
4.330% due 03/15/50 |
1,190,000 | 1,022,336 | ||||||
4.450% due 03/03/26 |
660,000 | 645,115 | ||||||
5.000% due 01/21/44 |
370,000 | 355,942 | ||||||
Bank of Montreal (Canada) |
||||||||
1.850% due 05/01/25 |
2,120,000 | 1,986,376 | ||||||
3.803% due 12/15/32 |
550,000 | 497,000 | ||||||
Bank of New York Mellon Corp. |
970,000 | 902,194 | ||||||
Bank of Nova Scotia (Canada) |
||||||||
1.300% due 06/11/25 |
690,000 | 636,554 | ||||||
4.588% due 05/04/37 |
980,000 | 864,671 | ||||||
Barclays PLC (United Kingdom) |
||||||||
4.972% due 05/16/29 |
2,496,000 | 2,409,391 | ||||||
5.088% due 06/20/30 |
4,250,000 | 3,936,132 | ||||||
Berkshire Hathaway Finance Corp. |
2,370,000 | 2,189,501 | ||||||
BNP Paribas SA (France) |
||||||||
2.219% due 06/09/26 ~ |
2,260,000 | 2,077,264 | ||||||
2.824% due 01/26/41 ~ |
910,000 | 607,578 | ||||||
3.375% due 01/09/25 ~ |
910,000 | 873,528 | ||||||
4.375% due 03/01/33 ~ |
970,000 | 884,502 | ||||||
4.400% due 08/14/28 ~ |
2,110,000 | 2,000,460 | ||||||
4.625% due 03/13/27 ~ |
1,110,000 | 1,060,855 | ||||||
4.705% due 01/10/25 ~ |
2,360,000 | 2,333,917 | ||||||
5.125% due 01/13/29 ~ |
2,280,000 | 2,286,482 | ||||||
5.198% due 01/10/30 ~ |
920,000 | 895,833 | ||||||
BPCE SA (France) |
1,370,000 | 1,344,392 | ||||||
Canadian Imperial Bank of Commerce (Canada) |
1,250,000 | 1,237,454 | ||||||
Chubb INA Holdings, Inc. |
440,000 | 425,911 | ||||||
Citigroup, Inc. |
||||||||
1.678% due 05/15/24 |
1,910,000 | 1,902,259 | ||||||
3.106% due 04/08/26 |
1,310,000 | 1,253,296 | ||||||
3.500% due 05/15/23 |
560,000 | 558,187 | ||||||
3.980% due 03/20/30 |
2,000,000 | 1,865,892 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
11
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
4.075% due 04/23/29 |
$ 2,840,000 | $ 2,710,209 | ||||||
4.400% due 06/10/25 |
3,030,000 | 2,955,821 | ||||||
4.412% due 03/31/31 |
890,000 | 845,569 | ||||||
4.450% due 09/29/27 |
1,330,000 | 1,290,700 | ||||||
4.650% due 07/30/45 |
2,171,000 | 1,978,101 | ||||||
4.650% due 07/23/48 |
1,430,000 | 1,327,677 | ||||||
4.658% due 05/24/28 |
730,000 | 721,651 | ||||||
4.750% due 05/18/46 |
440,000 | 390,266 | ||||||
4.910% due 05/24/33 |
1,920,000 | 1,885,584 | ||||||
5.300% due 05/06/44 |
240,000 | 228,808 | ||||||
5.500% due 09/13/25 |
630,000 | 629,480 | ||||||
5.950% due 05/15/25 |
2,220,000 | 2,071,694 | ||||||
6.300% due 05/15/24 |
2,520,000 | 2,403,450 | ||||||
6.625% due 06/15/32 |
480,000 | 515,509 | ||||||
6.675% due 09/13/43 |
580,000 | 648,432 | ||||||
8.125% due 07/15/39 |
200,000 | 258,272 | ||||||
8.870% (USD LIBOR + 4.068%) due 07/30/23 § |
1,820,000 | 1,810,900 | ||||||
Cooperatieve Rabobank UA (Netherlands) |
||||||||
1.339% due 06/24/26 ~ |
250,000 | 228,533 | ||||||
3.649% due 04/06/28 ~ |
1,560,000 | 1,465,533 | ||||||
3.758% due 04/06/33 ~ |
1,160,000 | 1,038,751 | ||||||
4.375% due 08/04/25 |
3,420,000 | 3,310,905 | ||||||
Credit Agricole SA (France) |
1,500,000 | 1,378,275 | ||||||
Credit Suisse AG (Switzerland) |
||||||||
2.950% due 04/09/25 |
1,580,000 | 1,470,253 | ||||||
7.500% due 02/15/28 |
3,400,000 | 3,612,500 | ||||||
7.950% due 01/09/25 |
3,210,000 | 3,267,010 | ||||||
Credit Suisse Group AG (Switzerland) |
||||||||
2.193% due 06/05/26 ~ |
1,718,000 | 1,533,664 | ||||||
2.593% due 09/11/25 ~ |
250,000 | 232,175 | ||||||
3.091% due 05/14/32 ~ |
2,240,000 | 1,806,493 | ||||||
4.194% due 04/01/31 ~ |
3,760,000 | 3,347,528 | ||||||
4.550% due 04/17/26 |
440,000 | 406,450 | ||||||
9.016% due 11/15/33 ~ |
780,000 | 926,172 | ||||||
Danske Bank AS (Denmark) |
||||||||
1.226% due 06/22/24 ~ |
2,570,000 | 2,537,743 | ||||||
3.244% due 12/20/25 ~ |
800,000 | 761,523 | ||||||
5.375% due 01/12/24 ~ |
1,470,000 | 1,456,820 | ||||||
Goldman Sachs Capital II |
298,000 | 226,480 | ||||||
Goldman Sachs Group, Inc. |
||||||||
2.908% due 07/21/42 |
370,000 | 265,375 | ||||||
3.210% due 04/22/42 |
160,000 | 120,772 | ||||||
3.500% due 04/01/25 |
2,050,000 | 1,991,694 | ||||||
3.500% due 11/16/26 |
40,000 | 38,238 | ||||||
3.615% due 03/15/28 |
710,000 | 672,379 | ||||||
3.625% due 02/20/24 |
420,000 | 413,901 | ||||||
4.223% due 05/01/29 |
1,000,000 | 958,962 | ||||||
4.250% due 10/21/25 |
3,150,000 | 3,059,244 | ||||||
4.750% due 10/21/45 |
20,000 | 18,500 | ||||||
5.150% due 05/22/45 |
3,100,000 | 2,941,801 | ||||||
5.950% due 01/15/27 |
1,733,000 | 1,786,257 | ||||||
6.250% due 02/01/41 |
3,450,000 | 3,799,177 | ||||||
6.750% due 10/01/37 |
1,485,000 | 1,608,667 | ||||||
Guardian Life Global Funding |
690,000 | 634,024 | ||||||
HSBC Bank USA NA |
1,240,000 | 1,359,251 | ||||||
HSBC Holdings PLC (United Kingdom) |
||||||||
2.099% due 06/04/26 |
200,000 | 183,812 | ||||||
3.973% due 05/22/30 |
1,480,000 | 1,336,683 | ||||||
4.250% due 03/14/24 |
2,070,000 | 2,016,917 | ||||||
4.250% due 08/18/25 |
1,100,000 | 1,047,107 | ||||||
4.762% due 03/29/33 |
1,190,000 | 1,076,698 | ||||||
Intercontinental Exchange, Inc. |
||||||||
4.600% due 03/15/33 |
980,000 | 966,906 | ||||||
4.950% due 06/15/52 |
540,000 | 525,714 | ||||||
Intesa Sanpaolo SpA (Italy) |
||||||||
5.017% due 06/26/24 ~ |
10,470,000 | 10,062,843 |
Principal |
Value |
|||||||
5.710% due 01/15/26 ~ |
$ 350,000 | $ 331,950 | ||||||
JPMorgan Chase & Co. |
||||||||
1.514% due 06/01/24 |
800,000 | 794,997 | ||||||
2.083% due 04/22/26 |
3,000,000 | 2,808,756 | ||||||
2.522% due 04/22/31 |
2,660,000 | 2,275,558 | ||||||
3.109% due 04/22/51 |
460,000 | 326,597 | ||||||
3.875% due 09/10/24 |
1,760,000 | 1,730,794 | ||||||
4.023% due 12/05/24 |
2,730,000 | 2,704,153 | ||||||
4.203% due 07/23/29 |
3,010,000 | 2,910,084 | ||||||
4.250% due 10/01/27 |
870,000 | 856,646 | ||||||
4.452% due 12/05/29 |
4,010,000 | 3,897,752 | ||||||
4.950% due 06/01/45 |
2,540,000 | 2,417,605 | ||||||
KKR Group Finance Co. II LLC |
350,000 | 332,415 | ||||||
Lloyds Banking Group PLC (United Kingdom) |
||||||||
3.900% due 03/12/24 |
1,910,000 | 1,873,199 | ||||||
4.375% due 03/22/28 |
2,430,000 | 2,308,716 | ||||||
Mastercard, Inc. |
880,000 | 782,745 | ||||||
Mitsubishi UFJ Financial Group, Inc. (Japan) |
||||||||
3.837% due 04/17/26 |
910,000 | 882,276 | ||||||
4.080% due 04/19/28 |
940,000 | 900,838 | ||||||
Morgan Stanley |
||||||||
2.188% due 04/28/26 |
3,400,000 | 3,191,849 | ||||||
2.699% due 01/22/31 |
2,830,000 | 2,439,297 | ||||||
3.622% due 04/01/31 |
3,040,000 | 2,782,058 | ||||||
3.737% due 04/24/24 |
1,450,000 | 1,447,458 | ||||||
3.772% due 01/24/29 |
200,000 | 189,577 | ||||||
4.431% due 01/23/30 |
170,000 | 164,047 | ||||||
National Securities Clearing Corp. |
||||||||
1.200% due 04/23/23 ~ |
950,000 | 947,689 | ||||||
1.500% due 04/23/25 ~ |
1,000,000 | 934,924 | ||||||
Natwest Group PLC (United Kingdom) |
||||||||
4.519% due 06/25/24 |
200,000 | 199,053 | ||||||
4.892% due 05/18/29 |
360,000 | 345,982 | ||||||
5.076% due 01/27/30 |
500,000 | 486,659 | ||||||
New York Life Global Funding |
840,000 | 773,822 | ||||||
Nuveen LLC |
1,500,000 | 1,443,505 | ||||||
Park Aerospace Holdings Ltd. (Ireland) |
630,000 | 624,397 | ||||||
Principal Life Global Funding II |
640,000 | 585,872 | ||||||
Royal Bank of Canada (Canada) |
||||||||
1.150% due 06/10/25 |
1,170,000 | 1,077,033 | ||||||
1.600% due 04/17/23 |
1,970,000 | 1,966,679 | ||||||
3.875% due 05/04/32 |
570,000 | 527,327 | ||||||
Santander UK Group Holdings PLC (United Kingdom) |
408,000 | 338,807 | ||||||
Standard Chartered PLC (United Kingdom) 6.312% (USD LIBOR + 1.510%) |
3,900,000 | 3,294,825 | ||||||
Swedbank AB (Sweden) |
2,200,000 | 2,182,193 | ||||||
Teachers Insurance & Annuity Association of America |
132,000 | 148,319 | ||||||
Toronto-Dominion Bank (Canada) |
||||||||
0.750% due 06/12/23 |
1,510,000 | 1,496,836 | ||||||
1.150% due 06/12/25 |
1,720,000 | 1,583,964 | ||||||
4.456% due 06/08/32 |
1,940,000 | 1,890,350 | ||||||
UBS Group AG (Switzerland) |
||||||||
2.746% due 02/11/33 ~ |
850,000 | 681,723 | ||||||
4.125% due 09/24/25 ~ |
1,050,000 | 1,005,010 | ||||||
4.488% due 05/12/26 ~ |
1,050,000 | 1,013,512 | ||||||
4.751% due 05/12/28 ~ |
1,350,000 | 1,296,313 | ||||||
7.000% due 01/31/24 ~ |
7,030,000 | 6,687,006 | ||||||
US Bancorp |
2,450,000 | 2,257,963 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
12
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Visa, Inc. |
||||||||
3.150% due 12/14/25 |
$ 2,010,000 | $ 1,953,991 | ||||||
4.300% due 12/14/45 |
1,570,000 | 1,513,702 | ||||||
WEA Finance LLC/Westfield UK & Europe Finance PLC (France) |
6,230,000 | 5,906,082 | ||||||
Wells Fargo & Co. |
||||||||
2.188% due 04/30/26 |
1,310,000 | 1,228,597 | ||||||
2.879% due 10/30/30 |
980,000 | 852,288 | ||||||
3.000% due 10/23/26 |
2,240,000 | 2,097,344 | ||||||
3.350% due 03/02/33 |
590,000 | 511,882 | ||||||
3.750% due 01/24/24 |
1,700,000 | 1,680,020 | ||||||
4.150% due 01/24/29 |
1,150,000 | 1,099,225 | ||||||
4.400% due 06/14/46 |
1,650,000 | 1,364,340 | ||||||
4.478% due 04/04/31 |
3,350,000 | 3,209,224 | ||||||
4.650% due 11/04/44 |
1,600,000 | 1,382,777 | ||||||
4.750% due 12/07/46 |
2,550,000 | 2,220,311 | ||||||
4.900% due 11/17/45 |
1,490,000 | 1,329,822 | ||||||
5.013% due 04/04/51 |
7,140,000 | 6,732,740 | ||||||
5.375% due 11/02/43 |
2,030,000 | 1,947,142 | ||||||
5.606% due 01/15/44 |
1,567,000 | 1,513,697 | ||||||
|
|
|||||||
279,554,103 | ||||||||
|
|
|||||||
Industrial - 1.9% |
||||||||
3M Co. |
||||||||
2.375% due 08/26/29 |
990,000 | 875,663 | ||||||
3.050% due 04/15/30 |
340,000 | 311,141 | ||||||
3.700% due 04/15/50 |
2,220,000 | 1,823,120 | ||||||
Ball Corp. |
1,220,000 | 1,010,727 | ||||||
Boeing Co. |
||||||||
2.196% due 02/04/26 |
1,190,000 | 1,104,625 | ||||||
2.700% due 02/01/27 |
610,000 | 562,341 | ||||||
3.200% due 03/01/29 |
1,480,000 | 1,353,307 | ||||||
3.250% due 02/01/35 |
3,350,000 | 2,738,896 | ||||||
3.550% due 03/01/38 |
460,000 | 366,046 | ||||||
3.750% due 02/01/50 |
1,380,000 | 1,047,087 | ||||||
4.875% due 05/01/25 |
1,340,000 | 1,337,934 | ||||||
5.150% due 05/01/30 |
1,900,000 | 1,912,866 | ||||||
5.705% due 05/01/40 |
2,190,000 | 2,217,679 | ||||||
5.805% due 05/01/50 |
1,720,000 | 1,733,855 | ||||||
5.930% due 05/01/60 |
150,000 | 150,121 | ||||||
Builders FirstSource, Inc. |
130,000 | 113,398 | ||||||
Carrier Global Corp. |
100,000 | 75,853 | ||||||
Deere & Co. |
||||||||
3.100% due 04/15/30 |
370,000 | 341,306 | ||||||
3.750% due 04/15/50 |
760,000 | 676,046 | ||||||
Eaton Corp. |
410,000 | 363,564 | ||||||
General Dynamics Corp. |
||||||||
3.250% due 04/01/25 |
420,000 | 408,938 | ||||||
4.250% due 04/01/40 |
100,000 | 94,535 | ||||||
4.250% due 04/01/50 |
340,000 | 318,490 | ||||||
L3Harris Technologies, Inc. |
||||||||
4.854% due 04/27/35 |
370,000 | 365,405 | ||||||
5.054% due 04/27/45 |
570,000 | 545,004 | ||||||
Lockheed Martin Corp. |
||||||||
3.550% due 01/15/26 |
605,000 | 599,530 | ||||||
3.900% due 06/15/32 |
600,000 | 583,962 | ||||||
4.150% due 06/15/53 |
2,290,000 | 2,084,747 | ||||||
4.500% due 05/15/36 |
580,000 | 573,940 | ||||||
Northrop Grumman Corp. |
||||||||
2.930% due 01/15/25 |
1,790,000 | 1,734,087 | ||||||
3.250% due 01/15/28 |
2,110,000 | 2,005,791 | ||||||
5.250% due 05/01/50 |
890,000 | 923,053 | ||||||
Otis Worldwide Corp. |
870,000 | 821,606 | ||||||
Raytheon Technologies Corp. |
||||||||
2.250% due 07/01/30 |
640,000 | 548,621 | ||||||
3.150% due 12/15/24 |
750,000 | 732,165 |
Principal |
Value |
|||||||
3.950% due 08/16/25 |
$ 950,000 | $ 939,415 | ||||||
4.125% due 11/16/28 |
390,000 | 384,780 | ||||||
4.500% due 06/01/42 |
380,000 | 360,519 | ||||||
Republic Services, Inc. |
1,000,000 | 969,052 | ||||||
Union Pacific Corp. |
||||||||
2.150% due 02/05/27 |
650,000 | 602,476 | ||||||
2.400% due 02/05/30 |
840,000 | 739,536 | ||||||
2.891% due 04/06/36 |
1,060,000 | 876,704 | ||||||
3.750% due 07/15/25 |
430,000 | 424,198 | ||||||
3.750% due 02/05/70 |
1,950,000 | 1,503,596 | ||||||
3.839% due 03/20/60 |
365,000 | 297,097 | ||||||
Vertiv Group Corp. |
570,000 | 503,586 | ||||||
|
|
|||||||
40,056,408 | ||||||||
|
|
|||||||
Technology - 1.4% |
||||||||
Apple, Inc. |
||||||||
1.125% due 05/11/25 |
2,110,000 | 1,981,139 | ||||||
2.450% due 08/04/26 |
1,610,000 | 1,533,301 | ||||||
Broadcom, Inc. |
4,110,000 | 3,164,032 | ||||||
Intel Corp. |
||||||||
1.600% due 08/12/28 |
530,000 | 463,408 | ||||||
3.050% due 08/12/51 |
240,000 | 164,150 | ||||||
3.700% due 07/29/25 |
620,000 | 611,467 | ||||||
4.750% due 03/25/50 |
920,000 | 844,899 | ||||||
5.125% due 02/10/30 |
880,000 | 896,534 | ||||||
International Business Machines Corp. |
2,800,000 | 2,748,840 | ||||||
Micron Technology, Inc. |
1,220,000 | 1,234,238 | ||||||
Microsoft Corp. |
||||||||
2.525% due 06/01/50 |
41,000 | 29,051 | ||||||
2.921% due 03/17/52 |
1,497,000 | 1,139,549 | ||||||
3.041% due 03/17/62 |
908,000 | 681,764 | ||||||
3.300% due 02/06/27 |
960,000 | 942,383 | ||||||
3.450% due 08/08/36 |
72,000 | 66,670 | ||||||
NVIDIA Corp. |
||||||||
2.850% due 04/01/30 |
580,000 | 528,315 | ||||||
3.500% due 04/01/40 |
1,520,000 | 1,306,613 | ||||||
3.500% due 04/01/50 |
1,250,000 | 1,024,703 | ||||||
3.700% due 04/01/60 |
1,590,000 | 1,284,545 | ||||||
NXP BV/NXP Funding LLC/NXP USA, Inc. (China) |
1,030,000 | 978,082 | ||||||
Oracle Corp. |
||||||||
1.650% due 03/25/26 |
2,150,000 | 1,976,121 | ||||||
2.875% due 03/25/31 |
1,830,000 | 1,566,868 | ||||||
2.950% due 04/01/30 |
260,000 | 229,664 | ||||||
4.650% due 05/06/30 |
900,000 | 876,629 | ||||||
Salesforce, Inc. |
||||||||
3.250% due 04/11/23 |
1,200,000 | 1,199,397 | ||||||
3.700% due 04/11/28 |
680,000 | 668,584 | ||||||
Texas Instruments, Inc. |
890,000 | 754,422 | ||||||
Workday, Inc. |
950,000 | 891,398 | ||||||
|
|
|||||||
29,786,766 | ||||||||
|
|
|||||||
Utilities - 0.3% |
||||||||
Berkshire Hathaway Energy Co. |
586,000 | 645,924 | ||||||
Consolidated Edison Co. of New York, Inc. |
||||||||
3.350% due 04/01/30 |
390,000 | 359,629 | ||||||
3.950% due 04/01/50 |
470,000 | 390,258 | ||||||
Duke Energy Ohio, Inc. |
1,390,000 | 1,317,703 | ||||||
Pacific Gas and Electric Co. |
||||||||
2.100% due 08/01/27 |
810,000 | 707,034 | ||||||
2.500% due 02/01/31 |
350,000 | 283,847 | ||||||
3.300% due 08/01/40 |
210,000 | 149,285 | ||||||
3.500% due 08/01/50 |
490,000 | 324,126 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
13
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Virginia Electric & Power Co. |
$ 2,130,000 | $ 2,378,593 | ||||||
|
|
|||||||
6,556,399 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
822,016,902 | |||||||
|
|
|||||||
SENIOR LOAN NOTES - 3.1% |
||||||||
Communications - 0.2% |
||||||||
Charter Communications Operating LLC |
||||||||
Term B1 6.557% (USD LIBOR + 1.750%) due 04/30/25 § |
924,594 | 925,028 | ||||||
Term B2 6.557% (SOFR + 1.750%) due 02/01/27 § |
7,386 | 7,329 | ||||||
Virgin Media Bristol LLC |
||||||||
Term N 7.184% (USD LIBOR + 2.500%) due 01/31/28 § |
1,811,848 | 1,788,229 | ||||||
Term Q 7.934% (USD LIBOR + 3.250%) due 01/31/29 § |
620,000 | 614,907 | ||||||
|
|
|||||||
3,335,493 | ||||||||
|
|
|||||||
Consumer, Cyclical - 0.8% |
||||||||
Air Canada Term B (Canada) |
1,657,475 | 1,653,923 | ||||||
Alterra Mountain Co. Term B |
1,344,349 | 1,340,989 | ||||||
Caesars Entertainment Corp. Term B |
160,000 | 159,400 | ||||||
Clarios Global LP Term B |
3,675,191 | 3,663,706 | ||||||
Great Outdoors Group LLC Term B1 |
1,022,721 | 1,011,641 | ||||||
GVC Holdings Gibraltar Ltd. Term B4 (United Kingdom) |
286,586 | 286,542 | ||||||
Harbor Freight Tools USA, Inc. Term B |
1,007,352 | 980,909 | ||||||
PCI Gaming Authority Term B |
1,637,523 | 1,638,956 | ||||||
Scientific Games International, Inc. (2nd Lien) |
1,868,593 | 1,856,332 | ||||||
SkyMiles IP Ltd. Term B |
589,000 | 611,382 | ||||||
Station Casinos LLC Term B |
1,040,147 | 1,033,646 | ||||||
UFC Holdings LLC Term B |
1,282,253 | 1,276,198 |
Principal |
Value |
|||||||
United Airlines, Inc. Term B |
$ 1,070,024 | $ 1,065,789 | ||||||
|
|
|||||||
16,579,413 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 0.9% |
||||||||
Allied Universal Holdco LLC Term B |
2,059,560 | 1,957,869 | ||||||
Belron Finance US LLC Term B |
646,496 | 647,103 | ||||||
Eyecare Partners LLC |
942,409 | 779,254 | ||||||
Gainwell Acquisition Corp. Term B |
1,428,199 | 1,361,252 | ||||||
Garda World Security Corp. Term B (Canada) |
631,822 | 627,610 | ||||||
Global Medical Response, Inc. Term B |
2,920,209 | 2,080,649 | ||||||
ICON Luxembourg SARL Term B (Luxembourg) |
1,661,003 | 1,659,792 | ||||||
Medline Borrower LP Term B |
13,047 | 12,736 | ||||||
Phoenix Guarantor, Inc. |
||||||||
Term B 8.090% (USD LIBOR + 3.250%) due 03/05/26 § |
1,449,592 | 1,414,712 | ||||||
Term B3 8.340% (USD LIBOR + 3.500%) due 03/05/26 § |
280,511 | 273,762 | ||||||
PRA Health Sciences, Inc. Term B |
440,024 | 439,703 | ||||||
Prime Security Services Borrower LLC Term B1 |
975,386 | 973,497 | ||||||
Sotera Health Holdings LLC |
2,490,000 | 2,407,519 | ||||||
Trans Union LLC Term B5 |
994,140 | 988,105 | ||||||
Triton Water Holdings, Inc. Term B |
1,907,982 | 1,723,384 | ||||||
Verscend Holding Corp. Term B |
174,905 | 174,971 | ||||||
|
|
|||||||
17,521,918 | ||||||||
|
|
|||||||
Diversified - 0.0% |
||||||||
First Eagle Holdings, Inc. Term B |
934,883 | 912,095 | ||||||
|
|
|||||||
Financial - 0.5% |
||||||||
Allspring Buyer LLC Term B |
826,939 | 825,217 | ||||||
AmWINS Group, Inc. |
||||||||
Term B 7.109% (USD LIBOR + 2.250%) due 02/19/28 § |
305,180 | 302,022 | ||||||
7.657% (SOFR + 2.750%) due 02/19/28 § |
219,450 | 216,501 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
14
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Asurion LLC |
||||||||
Term B8 8.090% (USD LIBOR + 3.250%) due 12/23/26 § |
$ | 1,422,739 | $ | 1,326,704 | ||||
Term B9 8.090% (USD LIBOR + 3.250%) due 07/31/27 § |
132,185 | 121,610 | ||||||
Term B11 9.157% (SOFR + 4.250%) due 08/19/28 § |
1,950,745 | 1,812,568 | ||||||
Castlelake Aviation Ltd. Term B |
1,067,378 | 1,058,572 | ||||||
Citadel Securities LP Term B |
157,744 | 156,640 | ||||||
Deerfield Dakota Holding LLC Term B |
1,310,571 | 1,272,346 | ||||||
Setanta Aircraft Leasing DAC Term B (Ireland) |
2,290,000 | 2,293,577 | ||||||
VFH Parent LLC Term B |
1,574,100 | 1,526,877 | ||||||
|
|
|||||||
10,912,634 | ||||||||
|
|
|||||||
Industrial - 0.4% |
||||||||
Ali Group North America Corp. Term B |
945,347 | 933,235 | ||||||
Brown Group Holding LLC Term B |
2,243,398 | 2,226,012 | ||||||
Coherent Corp Term B |
1,440,671 | 1,429,865 | ||||||
Genesee & Wyoming, Inc. |
1,809,317 | 1,800,578 | ||||||
GFL Environmental, Inc. Term B (Canada) |
96,499 | 96,620 | ||||||
Solis IV BV Term B1 (Netherlands) |
2,519,084 | 2,277,882 | ||||||
|
|
|||||||
8,764,192 | ||||||||
|
|
|||||||
Technology - 0.3% |
||||||||
AthenaHealth Group, Inc. |
||||||||
Term B 8.160% (SOFR + 3.500%) due 02/15/29 § f |
155,868 | 145,347 | ||||||
8.259% (SOFR + 3.500%) due 02/15/29 § |
1,268,791 | 1,183,148 | ||||||
Cloudera, Inc. Term B |
715,100 | 675,769 | ||||||
Dcert Buyer, Inc. Term B |
1,401,956 | 1,377,772 | ||||||
Magenta Buyer LLC (1st Lien) |
2,102,789 | 1,734,801 |
Principal |
Value |
|||||||
Peraton Corp. Term B |
$ 1,543,680 | $ 1,525,542 | ||||||
|
|
|||||||
6,642,379 | ||||||||
|
|
|||||||
Total Senior Loan Notes |
64,668,124 | |||||||
|
|
|||||||
MORTGAGE-BACKED SECURITIES - 37.7% |
| |||||||
Collateralized Mortgage Obligations - Commercial 4.7% |
| |||||||
Bank 2019-BN17(IO) |
35,903,213 | 1,702,390 | ||||||
BANK 2023-BNK45 |
2,040,000 | 2,042,781 | ||||||
BBCCRE Trust |
4,965,000 | 3,759,581 | ||||||
BHMS |
3,500,000 | 3,371,576 | ||||||
BX Commercial Mortgage Trust |
2,480,000 | 2,387,576 | ||||||
BX Trust |
1,240,000 | 1,211,767 | ||||||
CD Mortgage Trust (IO) |
25,422,890 | 975,334 | ||||||
Citigroup Commercial Mortgage Trust |
1,970,000 | 1,884,865 | ||||||
Commercial Mortgage Trust |
||||||||
4.300% due 10/10/46 |
510,000 | 461,886 | ||||||
4.762% due 10/10/46 § |
450,000 | 376,105 | ||||||
4.873% due 08/15/45 § ~ |
2,390,000 | 2,072,054 | ||||||
5.110% due 10/10/46 § |
220,000 | 147,747 | ||||||
Commercial Mortgage Trust (IO) |
2,153,617 | 22 | ||||||
Credit Suisse Mortgage Capital Certificates |
5,416,524 | 5,272,809 | ||||||
Credit Suisse Mortgage Trust |
||||||||
3.953% due 09/15/37 ~ |
6,800,000 | 6,190,392 | ||||||
4.373% due 09/15/37 ~ |
1,700,000 | 952,222 | ||||||
10.034% (USD LIBOR + 5.350%) due 07/15/32 § ~ |
3,750,000 | 3,355,883 | ||||||
CSMC |
||||||||
7.523% (SOFR + 2.695%) due 06/15/39 § ~ |
1,830,000 | 1,820,931 | ||||||
DBJPM Mortgage Trust |
2,010,000 | 1,850,792 | ||||||
Fannie Mae |
||||||||
2.232% due 02/25/27 |
2,012,081 | 1,891,899 | ||||||
2.560% due 09/25/29 |
965,085 | 880,904 | ||||||
2.720% due 10/25/31 § |
366,838 | 326,993 | ||||||
3.106% due 04/25/28 § |
82,729 | 78,738 | ||||||
Fannie Mae (IO) |
9,375,931 | 256,722 | ||||||
Fannie Mae - Aces |
||||||||
2.500% due 10/25/37 |
433,821 | 381,198 | ||||||
3.061% due 05/25/27 § |
521,347 | 498,133 | ||||||
Federal Home Loan Mortgage Corp. |
9,992,240 | 294,664 | ||||||
Freddie Mac (IO) |
||||||||
0.348% due 09/25/31 § |
3,098 | 75 | ||||||
0.472% due 02/25/36 § |
4,987,620 | 203,810 | ||||||
0.570% due 12/25/27 § |
5,983,525 | 132,608 | ||||||
0.598% due 12/25/35 § |
15,773 | 762 | ||||||
0.779% due 03/25/28 § |
6,095,430 | 161,792 | ||||||
1.666% due 08/27/28 § |
4,000,000 | 292,948 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
15
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Freddie Mac Multifamily Structured Pass-Through Certificates |
| |||||||
0.230% due 06/25/54 § |
$ 5,498,856 | $ 109,942 | ||||||
0.297% due 03/25/32 § |
6,897,343 | 157,499 | ||||||
0.342% due 04/25/55 § |
6,995,024 | 186,423 | ||||||
Freddie Mac Multifamily Structured Pass-Through Certificates (IO) |
| |||||||
0.637% due 10/25/26 § |
16,682,109 | 293,547 | ||||||
0.880% due 06/25/29 § |
7,228,451 | 322,523 | ||||||
1.148% due 06/25/29 § |
6,050,000 | 373,748 | ||||||
1.212% due 06/25/27 § |
1,521,882 | 45,539 | ||||||
1.288% due 07/25/26 § |
4,978,678 | 170,969 | ||||||
Government National Mortgage Association |
||||||||
1.450% due 01/16/63 |
2,419,893 | 1,924,386 | ||||||
1.850% due 02/16/61 |
1,700,000 | 981,759 | ||||||
2.200% due 10/16/63 |
2,000,000 | 1,555,997 | ||||||
2.844% due 11/16/47 § |
919,125 | 837,774 | ||||||
3.000% due 10/16/64 § |
2,900,000 | 2,303,154 | ||||||
Government National Mortgage Association (IO) |
| |||||||
0.064% due 10/16/48 § |
4,593,825 | 6,213 | ||||||
0.323% due 01/16/53 § |
26,096,144 | 226,194 | ||||||
0.449% due 08/16/58 § |
1,240,685 | 32,292 | ||||||
0.503% due 12/16/59 § |
1,858,966 | 59,629 | ||||||
0.507% due 04/16/57 § |
1,615,457 | 48,990 | ||||||
0.527% due 02/16/59 § |
1,873,765 | 61,435 | ||||||
0.567% due 01/16/63 § |
4,916,413 | 251,184 | ||||||
0.570% due 11/16/47 § |
8,013,856 | 103,452 | ||||||
0.571% due 02/16/62 § |
3,439,700 | 182,954 | ||||||
0.595% due 07/16/58 § |
1,029,926 | 28,944 | ||||||
0.640% due 02/16/61 § |
2,153,029 | 123,109 | ||||||
0.666% due 11/16/55 § |
6,676,599 | 163,119 | ||||||
0.805% due 01/16/61 § |
12,397,501 | 753,778 | ||||||
0.826% due 05/16/63 § |
4,661,306 | 292,549 | ||||||
0.840% due 05/16/60 § |
1,784,556 | 105,942 | ||||||
0.870% due 10/16/62 § |
2,736,467 | 175,892 | ||||||
0.913% due 11/16/60 § |
5,695,890 | 369,977 | ||||||
1.422% due 10/16/60 § |
30,677,245 | 2,712,635 | ||||||
GS Mortgage Securities Corp. Trust |
||||||||
5.835% (USD LIBOR + 1.150%) due 05/15/26 § ~ |
2,360,000 | 2,130,365 | ||||||
6.484% (USD LIBOR + 1.800%) due 09/15/31 § ~ |
3,882,008 | 3,241,475 | ||||||
GS Mortgage Securities Trust |
||||||||
3.164% due 05/10/50 |
3,048,713 | 2,816,390 | ||||||
3.777% due 05/10/50 § |
3,880,000 | 3,659,821 | ||||||
4.025% due 05/10/50 § |
550,000 | 502,592 | ||||||
5.161% due 11/10/46 § |
1,070,000 | 1,051,548 | ||||||
JP Morgan Chase Commercial Mortgage Securities Trust |
| |||||||
2.822% due 08/15/49 |
3,400,000 | 3,136,839 | ||||||
4.623% due 08/15/48 § |
2,470,000 | 2,305,801 | ||||||
4.884% due 01/15/47 § |
510,000 | 497,443 | ||||||
6.201% due 02/15/51 § |
17,632 | 15,722 | ||||||
MHC Commercial Mortgage Trust |
1,240,000 | 1,200,761 | ||||||
ML-CFC Commercial Mortgage Trust |
||||||||
5.450% due 08/12/48 § |
426,971 | 109,389 | ||||||
5.450% due 08/12/48 § ~ |
53,910 | 13,812 | ||||||
6.193% due 09/12/49 § |
40,869 | 40,075 | ||||||
Ready Capital Mortgage Financing LLC |
||||||||
6.045% (USD LIBOR + 1.200%) due 11/25/36 § ~ |
4,696,326 | 4,597,276 | ||||||
7.259% (SOFR + 2.467%) due 06/25/37 § ~ |
948,402 | 946,909 | ||||||
Shops at Crystals Trust |
7,500,000 | 6,634,490 | ||||||
Waterfall Commercial Mortgage Trust |
637,415 | 627,230 | ||||||
WFRBS Commercial Mortgage Trust |
||||||||
4.204% due 11/15/47 § |
3,830,000 | 3,531,696 | ||||||
4.723% due 03/15/47 § |
340,000 | 329,333 | ||||||
WFRBS Commercial Mortgage Trust (IO) |
5,952,054 | 30,436 | ||||||
|
|
|||||||
97,618,910 | ||||||||
|
|
Principal |
Value |
|||||||
Collateralized Mortgage Obligations - Residential - 6.5% |
| |||||||
Adjustable Rate Mortgage Trust |
||||||||
3.024% due 10/25/35 § |
$ 1,160,364 | $ 969,287 | ||||||
5.345% (USD LIBOR + 0.500%) due 03/25/36 § |
334,576 | 95,013 | ||||||
Alternative Loan Trust |
||||||||
6.000% due 03/25/27 |
10,330 | 10,176 | ||||||
6.280% (16.940% - USD LIBOR) due 06/25/35 § |
2,117,272 | 1,787,775 | ||||||
6.500% due 09/25/36 |
1,026,865 | 594,819 | ||||||
9.219% (28.600% - USD LIBOR) |
716,946 | 703,221 | ||||||
Angel Oak Mortgage Trust |
4,885,629 | 4,717,030 | ||||||
Chevy Chase Funding LLC Mortgage-Backed Certificates |
130,377 | 104,776 | ||||||
Citigroup Mortgage Loan Trust, Inc. |
||||||||
4.133% due 04/25/37 § |
233,750 | 204,237 | ||||||
6.500% due 10/25/36 § ~ |
1,273,774 | 733,512 | ||||||
Connecticut Avenue Securities Trust |
||||||||
6.895% (USD LIBOR + 2.050%) due 01/25/40 § ~ |
1,183,675 | 1,188,017 | ||||||
6.945% (USD LIBOR + 2.100%) due 10/25/39 § ~ |
522,891 | 524,561 | ||||||
Countrywide Home Loan Mortgage Pass-Through Trust |
|
|||||||
5.500% due 07/25/35 |
472,117 | 256,813 | ||||||
5.750% due 02/25/37 |
3,089,941 | 1,591,058 | ||||||
Credit Suisse Mortgage Trust |
||||||||
2.000% due 01/25/60 ~ |
1,470,550 | 1,252,167 | ||||||
3.500% due 02/25/48 § ~ |
7,080,089 | 6,369,993 | ||||||
3.931% due 01/27/36 § ~ |
7,895,183 | 7,120,311 | ||||||
CSMC Trust |
||||||||
1.101% due 05/25/66 § ~ |
1,731,116 | 1,418,552 | ||||||
2.952% due 07/25/57 § ~ |
9,880,000 | 8,945,777 | ||||||
6.811% (SOFR + 2.500%) due 10/25/66 § ~ |
4,994,191 | 4,981,724 | ||||||
DCP Rights, LLC |
1,250,000 | 1,252,627 | ||||||
Fannie Mae |
||||||||
4.000% due 07/25/40 |
2,001,533 | 1,969,933 | ||||||
5.195% (USD LIBOR + 0.350%) due 05/25/34 § |
174,126 | 172,432 | ||||||
6.000% due 05/25/42 |
458,779 | 488,649 | ||||||
6.500% due 06/25/39 |
22,227 | 22,766 | ||||||
7.000% due 05/25/42 |
188,728 | 204,722 | ||||||
Fannie Mae (IO) |
||||||||
0.128% due 10/25/35 § |
153,544 | 7,747 | ||||||
0.255% due 08/25/44 § |
1,221,406 | 57,223 | ||||||
0.309% due 08/25/55 § |
429,674 | 16,129 | ||||||
0.388% due 03/25/36 § |
89,861 | 3,901 | ||||||
0.955% due 07/25/36 § |
155,968 | 12,468 | ||||||
1.305% (6.150% - USD LIBOR) due 09/25/41 - 08/25/45 § |
4,273,204 | 391,749 | ||||||
1.635% (6.480% - USD LIBOR) due 04/25/40 § |
243,421 | 28,923 | ||||||
1.755% (6.600% - USD LIBOR) due 07/25/42 § |
157,703 | 19,432 | ||||||
1.805% (6.650% - USD LIBOR) due 03/25/42 § |
611,949 | 39,833 | ||||||
2.500% due 08/25/50 - 02/25/51 |
4,084,961 | 624,688 | ||||||
3.000% due 11/25/26 - 09/25/32 |
1,753,283 | 82,410 | ||||||
3.500% due 07/25/28 - 11/25/41 |
980,025 | 119,024 | ||||||
4.000% due 11/25/41 |
1,047,254 | 190,932 | ||||||
4.365% due 12/25/36 § |
373,632 | 27,763 | ||||||
4.500% due 11/25/39 |
140,247 | 26,159 | ||||||
4.733% due 12/25/36 § |
287,820 | 15,999 | ||||||
5.000% due 01/25/38 - 01/25/39 |
392,297 | 74,551 | ||||||
5.000% due 01/25/39 § |
100,387 | 20,142 | ||||||
5.500% due 01/25/39 § |
91,668 | 19,930 | ||||||
6.000% due 01/25/38 - 07/25/38 |
398,938 | 87,253 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
16
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Fannie Mae (PO) |
$ 80,256 | $ 71,775 | ||||||
Fannie Mae Connecticut Avenue Securities |
||||||||
9.845% (USD LIBOR + 5.000%) due 11/25/24 § |
131,304 | 132,291 | ||||||
10.095% (USD LIBOR + 5.250%) due 10/25/23 § |
609,190 | 619,929 | ||||||
Fannie Mae REMICS |
||||||||
2.000% due 08/25/50 |
2,600,000 | 2,011,541 | ||||||
2.500% due 02/25/44 |
3,771,756 | 3,282,121 | ||||||
Flagstar Mortgage Trust |
104,769 | 102,107 | ||||||
Freddie Mac |
||||||||
3.000% due 08/15/48 |
355,004 | 315,968 | ||||||
4.000% due 12/15/39 - 04/25/52 |
1,206,057 | 1,141,867 | ||||||
5.000% due 02/15/30 |
582,570 | 588,427 | ||||||
5.684% (USD LIBOR + 1.000%) due 02/15/32 § |
28,210 | 27,056 | ||||||
6.000% due 05/15/36 |
836,166 | 881,685 | ||||||
6.360% (SOFR + 1.800%) due 01/25/51 § ~ |
2,348,789 | 2,317,820 | ||||||
7.145% (USD LIBOR + 2.300%) due 01/25/50 § ~ |
2,570,000 | 2,488,153 | ||||||
Freddie Mac (IO) |
||||||||
0.212% due 04/15/41 § |
537,443 | 23,479 | ||||||
0.250% due 01/15/38 § |
48,158 | 416 | ||||||
1.266% (5.950% - USD LIBOR) due 10/15/41 § |
437,465 | 41,454 | ||||||
1.316% (6.000% - USD LIBOR) due 05/15/44 § |
2,328,124 | 253,085 | ||||||
1.346% (6.030% - USD LIBOR) due 09/15/37 § |
640,147 | 52,151 | ||||||
1.366% (6.050% - USD LIBOR) due 08/15/39 § |
616,911 | 52,333 | ||||||
1.546% (6.230% - USD LIBOR) due 01/15/40 § |
109,808 | 11,047 | ||||||
1.566% (6.250% - USD LIBOR) due 09/15/42 § |
370,134 | 30,691 | ||||||
1.606% (6.290% - USD LIBOR) due 11/15/36 § |
213,727 | 20,951 | ||||||
2.000% due 10/25/50 |
2,141,447 | 289,570 | ||||||
2.500% due 05/25/49 - 01/25/51 |
11,687,303 | 1,749,448 | ||||||
3.000% due 12/15/31 |
308,739 | 16,051 | ||||||
3.500% due 06/15/27 - 04/15/43 |
960,835 | 67,412 | ||||||
4.000% due 04/15/43 |
66,663 | 2,740 | ||||||
Freddie Mac REMICS |
||||||||
2.000% due 03/25/51 |
5,271,170 | 593,241 | ||||||
3.000% due 09/15/44 |
2,322,092 | 2,082,824 | ||||||
Freddie Mac STACR Trust |
1,834,092 | 1,823,682 | ||||||
Freddie Mac Structured Agency Credit Risk Debt Notes |
2,833,222 | 2,964,846 | ||||||
Government National Mortgage Association |
||||||||
2.500% due 05/20/51 - 10/20/51 |
4,304,748 | 2,201,966 | ||||||
2.750% due 03/20/48 |
505,998 | 457,146 | ||||||
3.000% due 07/20/49 |
2,353,975 | 2,143,824 | ||||||
4.866% (USD LIBOR + 0.300%) due 02/20/68 - 07/20/68 § |
1,758,199 | 1,739,813 | ||||||
4.966% (USD LIBOR + 0.400%) due 08/20/70 § |
156,627 | 155,231 | ||||||
5.016% (USD LIBOR + 0.450%) due 07/20/70 § |
509,925 | 493,930 | ||||||
5.066% (USD LIBOR + 0.500%) due 03/20/61 - 07/20/70 § |
1,192,495 | 1,174,486 | ||||||
5.635% (USD LIBOR + 1.000%) due 05/20/60 § |
176,530 | 176,888 | ||||||
Government National Mortgage Association (IO) |
|
|||||||
0.475% due 11/20/42 § |
131,099 | 3,195 |
Principal |
Value |
|||||||
1.372% (6.100% - USD LIBOR) due 08/16/42 § |
$416,139 | $45,154 | ||||||
1.422% (6.150% - USD LIBOR) due 06/16/43 § |
379,702 | 14,992 | ||||||
1.472% (6.200% - USD LIBOR) due 10/16/42 § |
571,891 | 64,402 | ||||||
1.719% (6.480% - USD LIBOR) due 04/20/40 § |
59,231 | 6,782 | ||||||
1.789% (6.550% - USD LIBOR) due 06/20/40 § |
1,155,053 | 123,080 | ||||||
1.872% (6.600% - USD LIBOR) due 04/16/42 § |
1,146,520 | 156,867 | ||||||
1.889% (6.650% - USD LIBOR) due 01/20/40 § |
16,304 | 143 | ||||||
2.000% due 12/20/50 |
7,608,473 | 832,287 | ||||||
2.500% due 08/20/50 - 02/20/51 |
22,733,514 | 3,198,052 | ||||||
3.500% due 04/20/27 - 04/20/50 |
3,289,501 | 521,685 | ||||||
4.000% due 04/16/45 |
616,691 | 110,354 | ||||||
5.000% due 10/20/44 |
2,993,802 | 590,380 | ||||||
GS Mortgage-Backed Securities Trust |
1,830,558 | 1,666,360 | ||||||
Impac CMB Trust |
991,572 | 859,626 | ||||||
IndyMac INDX Mortgage Loan Trust |
840,020 | 645,813 | ||||||
JP Morgan Mortgage Trust |
||||||||
3.500% due 09/25/48 § ~ |
755,788 | 678,420 | ||||||
3.500% due 10/25/48 § ~ |
1,592,181 | 1,429,027 | ||||||
4.207% due 08/25/35 § |
258,612 | 237,238 | ||||||
Legacy Mortgage Asset Trust |
||||||||
1.750% due 04/25/61 § ~ |
1,962,395 | 1,840,600 | ||||||
2.250% due 07/25/67 § ~ |
3,693,434 | 3,374,817 | ||||||
Lehman Mortgage Trust |
2,762,923 | 1,351,297 | ||||||
MASTR Reperforming Loan Trust |
895,013 | 689,990 | ||||||
Merrill Lynch Mortgage Investors Trust |
499,745 | 457,807 | ||||||
Morgan Stanley Mortgage Loan Trust |
||||||||
3.543% due 07/25/34 § |
127,119 | 113,456 | ||||||
3.703% due 07/25/35 § |
516,473 | 422,807 | ||||||
Morgan Stanley Resecuritization Trust |
5,431,969 | 4,618,660 | ||||||
NAAC Reperforming Loan REMIC Trust Certificates |
1,048,286 | 948,813 | ||||||
New Residential Mortgage Loan Trust |
1,838,733 | 1,714,643 | ||||||
Nomura Resecuritization Trust |
3,378,575 | 3,041,423 | ||||||
PMT Credit Risk Transfer Trust |
2,982,521 | 2,919,575 | ||||||
PRKCM Trust |
2,018,460 | 1,684,525 | ||||||
RAAC Trust |
8,416 | 7,885 | ||||||
Radnor RE Ltd. (Bermuda) |
8,010,000 | 7,923,981 | ||||||
Residential Asset Securitization Trust |
||||||||
5.345% (USD LIBOR + 0.500%) due 07/25/36 § |
315,264 | 227,853 | ||||||
6.000% due 08/25/36 |
687,511 | 461,603 | ||||||
Structured Adjustable Rate Mortgage Loan Trust |
||||||||
3.848% due 05/25/36 § |
1,134,338 | 723,116 | ||||||
4.084% due 08/25/36 § |
2,667,258 | 1,863,562 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
17
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Verus Securitization Trust |
$1,689,384 | $1,651,181 | ||||||
WaMu Mortgage Pass-Through Certificates Trust |
|
|||||||
3.187% due 10/25/36 § |
399,136 | 351,065 | ||||||
3.884% due 07/25/37 § |
1,419,284 | 1,279,878 | ||||||
4.157% due 09/25/33 § |
57,436 | 52,232 | ||||||
Washington Mutual Mortgage Pass-Through Certificates Trust |
|
|||||||
3.838% (US FED + 0.700%) due 01/25/47 § |
3,117,175 | 2,433,759 | ||||||
6.000% due 07/25/36 |
366,953 | 256,849 | ||||||
|
|
|||||||
133,740,883 | ||||||||
|
|
|||||||
Fannie Mae - 13.7% |
| |||||||
due 04/13/53 # |
12,800,000 | 10,583,148 | ||||||
due 04/13/53 # |
6,700,000 | 5,775,348 | ||||||
due 04/13/53 # |
13,600,000 | 12,203,793 | ||||||
due 04/13/53 # |
16,000,000 | 14,868,125 | ||||||
due 04/13/53 # |
8,500,000 | 8,130,150 | ||||||
due 04/13/53 # |
14,400,000 | 14,110,185 | ||||||
due 04/13/53 # |
8,900,000 | 8,877,055 | ||||||
due 04/13/53 # |
5,500,000 | 5,555,967 | ||||||
1.500% due 03/01/51 |
2,919,541 | 2,301,127 | ||||||
2.000% due 06/01/41 - 03/01/52 |
37,535,098 | 31,369,785 | ||||||
2.149% due 02/01/32 § |
716,952 | 610,590 | ||||||
2.500% due 03/01/38 - 09/01/61 |
56,506,365 | 49,040,838 | ||||||
2.810% due 04/01/25 |
130,000 | 125,773 | ||||||
2.930% due 06/01/30 |
246,258 | 230,553 | ||||||
3.000% due 07/01/35 - 03/01/52 |
47,615,883 | 43,701,555 | ||||||
3.200% due 02/01/29 |
89,589 | 85,191 | ||||||
3.250% due 05/01/29 |
174,825 | 166,715 | ||||||
3.450% due 03/01/29 |
152,551 | 147,140 | ||||||
3.500% due 12/01/34 - 06/01/52 |
32,154,595 | 30,524,793 | ||||||
3.850% due 08/01/32 |
400,000 | 381,488 | ||||||
3.900% due 08/01/32 |
500,000 | 478,787 | ||||||
4.000% due 10/01/42 - 06/01/57 |
19,433,938 | 19,006,374 | ||||||
4.060% due 07/01/32 |
600,000 | 581,955 | ||||||
4.310% due 02/01/30 |
800,000 | 804,753 | ||||||
4.480% due 05/01/33 |
100,000 | 102,366 | ||||||
4.500% due 04/01/23 - 08/01/58 |
12,878,044 | 12,844,409 | ||||||
5.000% due 07/01/33 - 06/01/41 |
4,020,546 | 4,107,350 | ||||||
5.500% due 04/01/37 - 02/01/53 |
1,032,632 | 1,063,448 | ||||||
6.000% due 07/01/41 - 01/01/53 |
1,361,568 | 1,411,050 | ||||||
6.500% due 05/01/40 - 02/01/53 |
3,102,747 | 3,240,934 | ||||||
7.000% due 02/01/39 |
406,122 | 433,858 | ||||||
|
|
|||||||
282,864,603 | ||||||||
|
|
|||||||
Freddie Mac - 6.4% |
| |||||||
1.500% due 10/01/41 - 02/01/51 |
2,715,676 | 2,184,889 | ||||||
2.000% due 09/01/41 - 02/01/52 |
30,742,082 | 25,849,093 | ||||||
2.091% (UST + 1.285%) due 03/01/47 § |
635,375 | 605,015 | ||||||
2.500% due 04/01/41 - 04/01/52 |
57,549,684 | 50,330,830 | ||||||
2.877% (USD LIBOR + 1.619%) due 11/01/47 § |
1,755,689 | 1,700,328 | ||||||
3.000% due 05/01/42 - 04/01/52 |
12,286,208 | 11,236,805 | ||||||
3.007% (USD LIBOR + 1.628%) due 11/01/48 § |
4,925,987 | 4,713,688 | ||||||
3.097% (USD LIBOR + 1.621%) due 02/01/50 § |
1,808,493 | 1,750,366 | ||||||
3.500% due 01/01/38 - 05/01/52 |
5,172,745 | 4,887,225 | ||||||
4.000% due 10/01/42 - 07/01/49 |
17,626,198 | 17,191,738 | ||||||
4.500% due 07/01/23 - 01/01/51 |
6,056,107 | 6,099,887 | ||||||
5.000% due 12/01/35 - 06/01/48 |
2,398,902 | 2,451,801 | ||||||
5.500% due 08/01/37 - 01/01/53 |
772,502 | 797,973 | ||||||
6.000% due 10/01/36 - 12/01/52 |
1,940,229 | 2,021,492 | ||||||
6.500% due 09/01/39 - 03/01/53 |
1,660,633 | 1,719,558 | ||||||
7.000% due 03/01/39 |
114,908 | 123,469 | ||||||
|
|
|||||||
133,664,157 | ||||||||
|
|
Principal |
Value |
|||||||
Government National Mortgage Association - 6.4% |
| |||||||
due 04/20/53 # |
$1,600,000 | $1,408,188 | ||||||
due 04/20/53 # |
1,800,000 | 1,733,069 | ||||||
due 04/20/53 # |
5,900,000 | 5,811,678 | ||||||
due 04/20/53 # |
7,600,000 | 7,610,094 | ||||||
due 04/20/53 # |
7,000,000 | 7,079,707 | ||||||
2.000% due 02/20/51 - 04/20/53 |
10,726,373 | 9,159,565 | ||||||
2.500% due 08/20/50 - 02/20/53 |
29,801,576 | 26,268,323 | ||||||
3.000% due 09/15/42 - 04/20/52 |
31,242,178 | 28,530,024 | ||||||
3.500% due 06/20/44 - 12/20/52 |
20,243,265 | 19,177,170 | ||||||
4.000% due 02/20/33 - 04/20/50 |
11,149,533 | 10,874,545 | ||||||
4.500% due 01/20/40 - 11/20/50 |
8,450,075 | 8,477,725 | ||||||
5.000% due 01/15/40 - 10/20/47 |
3,765,018 | 3,880,068 | ||||||
5.003% (USD LIBOR + 0.621%) due 08/20/60 § |
295,301 | 294,683 | ||||||
5.500% due 06/15/36 |
152,378 | 159,080 | ||||||
6.000% due 06/20/35 - 03/20/42 |
1,983,569 | 2,100,374 | ||||||
6.500% due 10/20/37 |
276,240 | 294,328 | ||||||
|
|
|||||||
132,858,621 | ||||||||
|
|
|||||||
Total Mortgage-Backed Securities |
780,747,174 | |||||||
|
|
|||||||
ASSET-BACKED SECURITIES - 3.0% |
| |||||||
ACRES Commercial Realty Ltd. |
2,380,000 | 2,314,550 | ||||||
Arbor Realty Commercial Real Estate Notes Ltd. |
3,107,000 | 3,046,935 | ||||||
Citigroup Mortgage Loan Trust, Inc. |
145,742 | 96,171 | ||||||
College Ave Student Loans LLC |
||||||||
3.280% due 12/28/48 ~ |
1,358,009 | 1,243,165 | ||||||
6.245% (USD LIBOR + 1.400%) due 12/28/48 § ~ |
1,623,597 | 1,596,708 | ||||||
Credit Suisse European Mortgage Capital Ltd. (Ireland) |
4,011,150 | 3,937,711 | ||||||
Credit-Based Asset Servicing & Securitization LLC |
566,734 | 537,844 | ||||||
DB Master Finance LLC |
2,320,625 | 1,880,707 | ||||||
ECMC Group Student Loan Trust |
3,742,406 | 3,700,952 | ||||||
Fannie Mae Grantor Trust |
536,384 | 505,810 | ||||||
FNA VI LLC |
1,994,491 | 1,817,201 | ||||||
Foundation Finance Trust |
1,926,612 | 1,715,251 | ||||||
Freddie Mac Structured Pass-Through Certificates |
468,913 | 441,558 | ||||||
GoodLeap Sustainable Home Solutions Trust 1.930% due 07/20/48 ~ |
1,922,431 | 1,488,315 | ||||||
Hildene Community Funding CDO Ltd. (Cayman) |
4,771,678 | 3,849,716 | ||||||
Magnolia Finance X DAC (Ireland) |
4,191,055 | 4,097,385 | ||||||
MF1 Ltd. (Cayman) |
3,655,000 | 3,560,599 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
18
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
National Collegiate Student Loan Trust |
$ 1,200,000 | $ 867,604 | ||||||
Navient Private Education Refi Loan Trust |
3,286,110 | 2,996,572 | ||||||
Oak Street Investment Grade Net Lease Fund |
4,249,739 | 3,838,805 | ||||||
Origen Manufactured Housing Contract Trust |
||||||||
5.522% due 10/15/37 § |
2,505,900 | 2,295,883 | ||||||
6.616% due 04/15/37 § |
1,704,435 | 1,575,798 | ||||||
SBA Small Business Investment Cos. |
450,919 | 430,296 | ||||||
SMB Private Education Loan Trust |
1,417,102 | 1,248,108 | ||||||
SoFi Professional Loan Program Trust |
953,220 | 925,065 | ||||||
Stonepeak ABS |
6,622,838 | 6,121,516 | ||||||
Structured Asset Investment Loan Trust |
235,186 | 235,328 | ||||||
Sunrun Vulcan Issuer LLC |
1,950,892 | 1,649,483 | ||||||
Thrust Engine Leasing DAC |
2,219,464 | 1,844,596 | ||||||
United States Small Business Administration |
||||||||
2.690% due 07/01/44 |
1,178,079 | 1,048,936 | ||||||
2.980% due 04/01/39 |
645,871 | 603,757 | ||||||
|
|
|||||||
Total Asset-Backed Securities |
61,512,325 | |||||||
|
|
|||||||
U.S. TREASURY OBLIGATIONS - 9.7% |
||||||||
U.S. Treasury Bonds - 7.9% |
||||||||
1.875% due 11/15/51 |
8,375,000 | 5,706,614 | ||||||
2.000% due 08/15/51 |
10,880,000 | 7,657,863 | ||||||
2.250% due 05/15/41 |
13,310,000 | 10,581,710 | ||||||
2.375% due 02/15/42 |
1,860,000 | 1,496,755 | ||||||
2.375% due 05/15/51 |
16,210,000 | 12,454,156 | ||||||
2.875% due 05/15/52 |
950,000 | 813,085 | ||||||
3.000% due 08/15/52 |
8,420,000 | 7,399,075 | ||||||
3.250% due 05/15/42 |
150,000 | 138,480 | ||||||
3.375% due 11/15/48 |
10,000 | 9,360 | ||||||
3.625% due 08/15/43 |
1,020,000 | 990,914 | ||||||
3.625% due 02/15/44 |
2,697,000 | 2,611,138 | ||||||
4.000% due 11/15/42 |
41,740,000 | 42,887,850 | ||||||
4.000% due 11/15/52 |
67,070,000 | 71,198,997 | ||||||
|
|
|||||||
163,945,997 | ||||||||
|
|
|||||||
U.S. Treasury Inflation Indexed Bonds - 1.1% |
|
|||||||
U.S. Treasury Inflation-Indexed Notes |
23,877,260 | 23,836,793 | ||||||
|
|
|||||||
U.S. Treasury Notes - 0.7% |
||||||||
3.625% due 03/31/30 |
12,100,000 | 12,158,609 | ||||||
4.000% due 02/29/28 |
660,000 | 671,988 | ||||||
4.000% due 10/31/29 |
1,210,000 | 1,239,494 | ||||||
4.125% due 09/30/27 |
510,000 | 519,722 | ||||||
4.125% due 11/15/32 |
6,000 | 6,306 | ||||||
4.625% due 03/15/26 |
340,000 | 347,769 | ||||||
|
|
|||||||
14,943,888 | ||||||||
|
|
|||||||
Total U.S. Treasury Obligations |
202,726,678 | |||||||
|
|
Principal |
Value |
|||||||
FOREIGN GOVERNMENT BONDS & NOTES - 6.6% |
| |||||||
Argentine Bonos del Tesoro (Argentina) 16.000% due 10/17/23 W |
ARS 20,030,000 | $ 34,872 | ||||||
Argentine Republic Government (Argentina) |
||||||||
0.500% due 07/09/30 |
$1,634,820 | 477,661 | ||||||
1.000% due 07/09/29 |
412,501 | 116,445 | ||||||
3.500% due 07/09/41 |
4,140,000 | 1,179,011 | ||||||
Brazilian Government (Brazil) |
||||||||
4.625% due 01/13/28 |
580,000 | 568,335 | ||||||
4.750% due 01/14/50 |
3,780,000 | 2,805,523 | ||||||
5.000% due 01/27/45 |
4,390,000 | 3,460,835 | ||||||
5.625% due 01/07/41 |
560,000 | 496,884 | ||||||
5.625% due 02/21/47 |
3,600,000 | 3,040,655 | ||||||
Colombia Government (Colombia) |
||||||||
3.250% due 04/22/32 |
1,810,000 | 1,351,394 | ||||||
4.125% due 02/22/42 |
1,850,000 | 1,203,738 | ||||||
5.625% due 02/26/44 |
2,180,000 | 1,655,164 | ||||||
Indonesia Government (Indonesia) |
||||||||
4.350% due 01/11/48 |
770,000 | 685,494 | ||||||
4.750% due 07/18/47 ~ |
400,000 | 376,100 | ||||||
Indonesia Treasury (Indonesia) |
||||||||
6.375% due 04/15/32 |
IDR 37,919,000,000 | 2,477,980 | ||||||
6.500% due 02/15/31 |
254,574,000,000 | 16,884,447 | ||||||
7.000% due 05/15/27 |
123,765,000,000 | 8,437,266 | ||||||
Israel Government International (Israel) |
$1,290,000 | 1,168,655 | ||||||
Kenya Government (Kenya) |
||||||||
6.300% due 01/23/34 ~ |
3,210,000 | 2,275,087 | ||||||
7.250% due 02/28/28 ~ |
510,000 | 419,508 | ||||||
Mexican Bonos (Mexico) |
||||||||
7.750% due 11/23/34 |
346,790,000 | 17,762,499 | ||||||
7.750% due 11/13/42 |
660,067,500 | 31,962,908 | ||||||
8.000% due 11/07/47 |
MXN 346,070,000 | 17,104,731 | ||||||
8.500% due 05/31/29 |
55,030,000 | 3,007,625 | ||||||
10.000% due 12/05/24 |
28,960,000 | 1,596,734 | ||||||
Mexico Government (Mexico) |
||||||||
4.600% due 02/10/48 |
$3,370,000 | 2,759,563 | ||||||
5.750% due 10/12/10 |
1,450,000 | 1,301,258 | ||||||
Nigeria Government (Nigeria) |
||||||||
6.500% due 11/28/27 ~ |
650,000 | 531,323 | ||||||
7.143% due 02/23/30 ~ |
750,000 | 573,787 | ||||||
Panama Government (Panama) |
||||||||
2.252% due 09/29/32 |
2,630,000 | 2,022,154 | ||||||
4.500% due 04/01/56 |
1,230,000 | 918,511 | ||||||
Paraguay Government (Paraguay) |
790,000 | 697,967 | ||||||
Peruvian Government (Peru) |
||||||||
2.783% due 01/23/31 |
1,600,000 | 1,369,628 | ||||||
5.625% due 11/18/50 |
950,000 | 959,838 | ||||||
Provincia de Buenos Aires (Argentina) |
4,542,772 | 1,609,572 | ||||||
Russian Federal (Russia) |
||||||||
6.900% due 05/23/29 * Y |
RUB 107,830,000 | 83,320 | ||||||
7.050% due 01/19/28 * Y |
656,291,000 | 507,115 | ||||||
7.250% due 05/10/34 * Y |
41,210,000 | 31,843 | ||||||
7.650% due 04/10/30 * Y |
754,940,000 | 583,341 | ||||||
7.700% due 03/16/39 * Y |
690,870,000 | 533,834 | ||||||
8.150% due 02/03/27 * Y |
458,179,000 | 354,034 | ||||||
State of Israel (Israel) |
$990,000 | 760,557 | ||||||
|
|
|||||||
Total Foreign Government Bonds & Notes |
136,147,196 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
19
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 0.8% |
|
|||||||
Repurchase Agreement - 0.8% |
|
|||||||
Fixed Income Clearing Corp. |
$ 17,057,280 | $ 17,057,280 | ||||||
|
|
|||||||
Total Short-Term Investment |
17,057,280 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.6% |
|
2,084,875,679 | ||||||
|
|
|||||||
DERIVATIVES - 1.3% |
|
26,371,544 | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (1.9%) |
|
(38,923,133 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
|
$2,072,324,090 | ||||||
|
|
Notes to Schedule of Investments
(a) | An investment with a value of $34,872 or less than 0.1% of the Funds net assets was valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or to the Board of Trustees. |
(b) | Investments with a total aggregate value of $2,093,487 or 0.1% of the Funds net assets were in default as of March 31, 2023. |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
20
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited
(c) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||||
30 Day Federal Funds |
04/23 | 392 | $155,482,016 | $155,481,271 | ($745 | ) | ||||||||||||||
3-Month USD SOFR |
09/23 | 12 | 2,896,975 | 2,853,750 | (43,225 | ) | ||||||||||||||
3-Month USD SOFR |
12/23 | 161 | 38,341,119 | 38,396,487 | 55,368 | |||||||||||||||
3-Month USD SOFR |
03/26 | 238 | 57,349,402 | 57,753,675 | 404,273 | |||||||||||||||
AUD FX |
06/23 | 665 | 44,829,883 | 44,561,650 | (268,233 | ) | ||||||||||||||
Australia Treasury 10-Year Bonds |
06/23 | 260 | 20,670,509 | 21,357,296 | 686,787 | |||||||||||||||
EUR FX |
06/23 | 387 | 51,413,724 | 52,745,681 | 1,331,957 | |||||||||||||||
Euro-Bobl |
06/23 | 118 | 14,743,930 | 15,085,220 | 341,290 | |||||||||||||||
Euro-OAT |
06/23 | 112 | 15,275,457 | 15,818,255 | 542,798 | |||||||||||||||
GBP FX |
06/23 | 96 | 7,220,518 | 7,413,000 | 192,482 | |||||||||||||||
JPY FX |
06/23 | 472 | 43,771,780 | 44,972,750 | 1,200,970 | |||||||||||||||
Long Gilt |
06/23 | 137 | 16,978,889 | 17,466,470 | 487,581 | |||||||||||||||
MXN FX |
06/23 | 1,420 | 38,425,858 | 38,815,700 | 389,842 | |||||||||||||||
U.S. Treasury 30-Year Bonds |
06/23 | 1,319 | 168,111,191 | 172,995,094 | 4,883,903 | |||||||||||||||
U.S. Treasury 5-Year Notes |
06/23 | 6,654 | 716,626,718 | 728,664,988 | 12,038,270 | |||||||||||||||
U.S. Treasury Ultra 10-Year Notes |
06/23 | 401 | 46,967,819 | 48,577,391 | 1,609,572 | |||||||||||||||
U.S. Treasury Ultra Long Bonds |
06/23 | 1455 | 198,063,468 | 205,336,875 | 7,273,407 | |||||||||||||||
|
|
|||||||||||||||||||
31,126,297 | ||||||||||||||||||||
|
|
|||||||||||||||||||
Short Futures Outstanding | ||||||||||||||||||||
3-Month USD SOFR |
03/24 | 1,920 | 459,333,068 | 459,360,000 | (26,932 | ) | ||||||||||||||
3-Month USD SOFR |
03/25 | 816 | 196,207,674 | 197,625,000 | (1,417,326 | ) | ||||||||||||||
CAD FX |
06/23 | 38 | 2,759,839 | 2,811,620 | (51,781 | ) | ||||||||||||||
Euro-Bund |
04/23 | 158 | 21,438,742 | 21,421,000 | 17,742 | |||||||||||||||
Euro-Bund |
06/23 | 107 | 15,553,822 | 15,763,076 | (209,254 | ) | ||||||||||||||
Euro-Buxl |
06/23 | 70 | 10,102,763 | 10,693,386 | (590,623 | ) | ||||||||||||||
Japan 10-Year Bonds |
06/23 | 29 | 31,768,733 | 32,351,572 | (582,839 | ) | ||||||||||||||
U.S. Treasury 2-Year Notes |
06/23 | 2,734 | 560,629,104 | 564,442,846 | (3,813,742 | ) | ||||||||||||||
U.S. Treasury 10-Year Notes |
06/23 | 5,487 | 618,293,441 | 630,576,328 | (12,282,887 | ) | ||||||||||||||
|
|
|||||||||||||||||||
(18,957,642 | ) | |||||||||||||||||||
|
|
|||||||||||||||||||
Total Futures Contracts |
$12,168,655 | |||||||||||||||||||
|
|
(d) | Forward foreign currency contracts outstanding as of March 31, 2023 were as follows: |
Currency Purchased |
Currency Sold |
Settlement Month |
Counterparty | Unrealized Appreciation |
Unrealized Depreciation |
|||||||||||||||||||||||||||
AUD | 23,203,161 | USD | 16,178,706 | 04/23 | MSC | $- | ($660,769 | ) | ||||||||||||||||||||||||
CAD | 78,816,658 | USD | 59,014,382 | 04/23 | JPM | - | (684,162 | ) | ||||||||||||||||||||||||
CNH | 192,689,166 | USD | 28,406,766 | 04/23 | JPM | - | (340,248 | ) | ||||||||||||||||||||||||
EUR | 6,287,000 | USD | 6,821,213 | 04/23 | BNP | 2,331 | - | |||||||||||||||||||||||||
IDR | 33,225,832,572 | USD | 2,160,749 | 04/23 | JPM | 61,482 | - | |||||||||||||||||||||||||
INR | 347,679,333 | USD | 4,174,323 | 04/23 | JPM | 56,046 | - | |||||||||||||||||||||||||
JPY | 2,132,276,206 | USD | 15,884,296 | 04/23 | GSC | 207,297 | - | |||||||||||||||||||||||||
JPY | 306,645,000 | USD | 2,347,265 | 04/23 | MSC | - | (33,115 | ) | ||||||||||||||||||||||||
MXN | 181,601,906 | USD | 9,623,199 | 04/23 | GSC | 426,899 | - | |||||||||||||||||||||||||
NOK | 125,617,894 | EUR | 11,826,645 | 04/23 | MSC | - | (830,013 | ) | ||||||||||||||||||||||||
USD | 17,851,007 | CAD | 24,179,186 | 04/23 | JPM | - | (43,399 | ) | ||||||||||||||||||||||||
USD | 47,038,592 | CNH | 321,972,108 | 04/23 | JPM | 141,114 | - | |||||||||||||||||||||||||
USD | 38,114,284 | EUR | 35,212,070 | 04/23 | BNP | - | (102,852 | ) | ||||||||||||||||||||||||
USD | 13,561,769 | GBP | 11,103,008 | 04/23 | MSC | - | (138,873 | ) | ||||||||||||||||||||||||
USD | 25,346,645 | IDR | 396,073,015,383 | 04/23 | JPM | - | (1,143,752 | ) | ||||||||||||||||||||||||
USD | 14,218,061 | JPY | 1,883,973,563 | 04/23 | GSC | 326 | - | |||||||||||||||||||||||||
USD | 50,335,991 | MXN | 996,350,602 | 04/23 | GSC | - | (4,803,415 | ) | ||||||||||||||||||||||||
ZAR | 57,802,295 | USD | 3,374,627 | 04/23 | GSC | - | (132,213 | ) | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
Total Forward Foreign Currency Contracts |
$895,495 | ($8,912,811 | ) | |||||||||||||||||||||||||||||
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
21
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited
(e) | Purchased options outstanding as of March 31, 2023 were as follows: |
Options on Futures
Description | Exercise Price |
Expiration Date |
Exchange | Number of Contracts |
Notional Amount |
Cost | Value | |||||||||||||||||
Call - U.S. Treasury 5-Year Notes (04/23) |
$109.50 | 04/07/23 | CME | 75 | $8,212,500 | $30,599 | $34,570 | |||||||||||||||||
Call - U.S. Treasury 6-7-Year Notes (04/23) |
114.75 | 04/07/23 | CME | 142 | 16,294,500 | 86,152 | 95,406 | |||||||||||||||||
Call - U.S. Treasury Long Bonds (04/23) |
130.00 | 04/07/23 | CME | 25 | 3,250,000 | 25,949 | 41,406 | |||||||||||||||||
Call - U.S. Treasury Long Bonds (04/23) |
130.50 | 04/07/23 | CME | 25 | 3,262,500 | 21,262 | 33,594 | |||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
109.50 | 04/21/23 | CME | 75 | 8,212,500 | 55,794 | 53,321 | |||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
110.25 | 04/21/23 | CME | 49 | 5,402,250 | 26,975 | 22,203 | |||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
111.00 | 04/21/23 | CME | 98 | 10,878,000 | 52,388 | 28,328 | |||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
112.50 | 04/21/23 | CME | 49 | 5,512,500 | 34,538 | 5,742 | |||||||||||||||||
Call - U.S. Treasury 10-Year Notes (05/23) |
114.75 | 04/21/23 | CME | 16 | 1,836,000 | 17,278 | 16,250 | |||||||||||||||||
Call - U.S. Treasury 10-Year Notes (05/23) |
116.75 | 04/21/23 | CME | 33 | 3,852,750 | 23,526 | 12,375 | |||||||||||||||||
Call - U.S. Treasury 10-Year Notes (05/23) |
119.00 | 04/21/23 | CME | 33 | 3,927,000 | 26,354 | 4,125 | |||||||||||||||||
Call - U.S. Treasury 30-Year Bonds (05/23) |
130.50 | 04/21/23 | CME | 8 | 1,044,000 | 14,139 | 16,250 | |||||||||||||||||
Call - U.S. Treasury 30-Year Bonds (05/23) |
134.00 | 04/21/23 | CME | 25 | 3,350,000 | 26,168 | 17,969 | |||||||||||||||||
Call - U.S. Treasury 30-Year Bonds (05/23) |
137.00 | 04/21/23 | CME | 17 | 2,329,000 | 17,561 | 4,781 | |||||||||||||||||
|
|
|
|
|||||||||||||||||||||
458,683 | 386,320 | |||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||
Put - U.S. Treasury 6-7-Year Notes (04/23) |
114.25 | 04/07/23 | CME | 74 | 8,454,500 | 37,487 | 21,969 | |||||||||||||||||
Put - U.S. Treasury 6-7-Year Notes (04/23) |
114.50 | 04/07/23 | CME | 59 | 6,755,500 | 40,790 | 22,125 | |||||||||||||||||
Put - U.S. Treasury 10-Year Notes (05/23) |
114.50 | 04/21/23 | CME | 17 | 1,946,500 | 14,904 | 12,219 | |||||||||||||||||
Put - SOFR Midcurve 1-Year (12/23) |
95.88 | 12/15/23 | CME | 416 | 99,710,000 | 374,399 | 179,400 | |||||||||||||||||
Put - SOFR Midcurve 1-Year (12/23) |
96.00 | 12/15/23 | CME | 973 | 233,520,000 | 895,443 | 498,662 | |||||||||||||||||
|
|
|
|
|||||||||||||||||||||
1,363,023 | 734,375 | |||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||
Total Purchased Options |
|
$1,821,706 | $1,120,695 | |||||||||||||||||||||
|
|
|
|
(f) | Premiums received and value of written options outstanding as of March 31, 2023 were as follows: |
Description | Exercise Price |
Expiration Date |
Exchange | Number of Contracts |
Notional Amount |
Premium | Value | |||||||||||||||||
Call - GBP FX (04/23) |
$122.00 | 04/06/23 | CME | 33 | $2,516,250 | $30,143 | ($33,206 | ) | ||||||||||||||||
Call - U.S. Treasury 6-7-Year Notes (04/23) |
115.00 | 04/07/23 | CME | 156 | 17,940,000 | 70,683 | (85,312 | ) | ||||||||||||||||
Call - U.S. Treasury 6-7-Year Notes (04/23) |
115.75 | 04/07/23 | CME | 66 | 7,639,500 | 14,839 | (18,562 | ) | ||||||||||||||||
Call - U.S. Treasury Long Bonds (04/23) |
131.00 | 04/07/23 | CME | 17 | 2,227,000 | 10,189 | (18,062 | ) | ||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
107.00 | 04/21/23 | CME | 170 | 18,190,000 | 90,019 | (431,641 | ) | ||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
107.50 | 04/21/23 | CME | 189 | 20,317,500 | 74,978 | (392,766 | ) | ||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
109.00 | 04/21/23 | CME | 171 | 18,639,000 | 138,642 | (164,320 | ) | ||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
109.75 | 04/21/23 | CME | 115 | 12,621,250 | 84,254 | (70,977 | ) | ||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
110.00 | 04/21/23 | CME | 968 | 106,480,000 | 632,927 | (514,250 | ) | ||||||||||||||||
Call - U.S. Treasury 10-Year Notes (05/23) |
114.00 | 04/21/23 | CME | 313 | 35,682,000 | 169,068 | (449,938 | ) | ||||||||||||||||
Call - U.S. Treasury 10-Year Notes (05/23) |
115.00 | 04/21/23 | CME | 191 | 21,965,000 | 171,357 | (173,094 | ) | ||||||||||||||||
Call - U.S. Treasury 10-Year Notes (05/23) |
115.50 | 04/21/23 | CME | 348 | 40,194,000 | 389,773 | (244,688 | ) | ||||||||||||||||
Call - U.S. Treasury 10-Year Notes (05/23) |
116.00 | 04/21/23 | CME | 319 | 37,004,000 | 296,245 | (174,453 | ) | ||||||||||||||||
Call - U.S. Treasury 10-Year Notes (05/23) |
117.00 | 04/21/23 | CME | 58 | 6,786,000 | 62,884 | (19,031 | ) | ||||||||||||||||
Call - U.S. Treasury 30-Year Bonds (05/23) |
132.00 | 04/21/23 | CME | 8 | 1,056,000 | 9,361 | (10,625 | ) | ||||||||||||||||
Call - U.S. Treasury 30-Year Bonds (05/23) |
132.50 | 04/21/23 | CME | 8 | 1,060,000 | 10,736 | (9,125 | ) | ||||||||||||||||
Call - U.S. Treasury 30-Year Bonds (05/23) |
133.00 | 04/21/23 | CME | 25 | 3,325,000 | 34,722 | (24,609 | ) | ||||||||||||||||
Call - U.S. Treasury 10-Year Notes (06/23) |
115.00 | 05/26/23 | CME | 76 | 8,740,000 | 53,900 | (109,250 | ) | ||||||||||||||||
|
|
|
|
|||||||||||||||||||||
2,344,720 | (2,943,909 | ) | ||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||
Put - AUD FX (04/23) |
69.00 | 04/06/23 | CME | 26 | 1,794,000 | 25,675 | (52,000 | ) | ||||||||||||||||
Put - U.S. Treasury 6-7-Year Notes (04/23) |
113.50 | 04/07/23 | CME | 86 | 9,761,000 | 57,664 | (9,406 | ) | ||||||||||||||||
Put - U.S. Treasury 6-7-Year Notes (04/23) |
114.00 | 04/07/23 | CME | 131 | 14,934,000 | 49,648 | (28,656 | ) | ||||||||||||||||
Put - U.S. Treasury Long Bonds (04/23) |
130.00 | 04/07/23 | CME | 19 | 2,470,000 | 18,655 | (9,500 | ) | ||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
106.50 | 04/21/23 | CME | 390 | 41,535,000 | 138,138 | (9,141 | ) | ||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
107.00 | 04/21/23 | CME | 249 | 26,643,000 | 74,663 | (9,727 | ) | ||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
107.75 | 04/21/23 | CME | 263 | 28,338,250 | 105,256 | (28,766 | ) | ||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
108.00 | 04/21/23 | CME | 66 | 7,128,000 | 17,675 | (9,797 | ) | ||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
108.50 | 04/21/23 | CME | 1,066 | 115,661,000 | 432,359 | (283,156 | ) | ||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
109.00 | 04/21/23 | CME | 492 | 53,628,000 | 314,790 | (222,938 | ) | ||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
109.25 | 04/21/23 | CME | 162 | 17,698,500 | 98,446 | (92,390 | ) | ||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
110.00 | 04/21/23 | CME | 197 | 21,670,000 | 120,526 | (201,617 | ) | ||||||||||||||||
Put - U.S. Treasury 10-Year Notes (05/23) |
111.50 | 04/21/23 | CME | 3 | 334,500 | 1,979 | (234 | ) | ||||||||||||||||
Put - U.S. Treasury 10-Year Notes (05/23) |
112.50 | 04/21/23 | CME | 190 | 21,375,000 | 113,968 | (29,687 | ) | ||||||||||||||||
Put - U.S. Treasury 10-Year Notes (05/23) |
113.00 | 04/21/23 | CME | 246 | 27,798,000 | 133,590 | (61,500 | ) | ||||||||||||||||
Put - U.S. Treasury 10-Year Notes (05/23) |
114.00 | 04/21/23 | CME | 974 | 111,036,000 | 664,206 | (502,219 | ) | ||||||||||||||||
Put - U.S. Treasury 10-Year Notes (05/23) |
115.00 | 04/21/23 | CME | 69 | 7,935,000 | 48,834 | (67,922 | ) |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
22
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited
Description | Exercise Price |
Expiration Date |
Exchange | Number of Contracts |
Notional Amount |
Premium | Value | |||||||||||||||||||||
Put - U.S. Treasury 10-Year Notes (05/23) |
$117.00 | 04/21/23 | CME | 98 | $11,466,000 | $151,424 | ($235,813 | ) | ||||||||||||||||||||
Put - U.S. Treasury 30-Year Bonds (05/23) |
129.00 | 04/21/23 | CME | 33 | 4,257,000 | 47,130 | (26,297 | ) | ||||||||||||||||||||
Put - U.S. Treasury 30-Year Bonds (05/23) |
130.00 | 04/21/23 | CME | 100 | 13,000,000 | 163,264 | (115,625 | ) | ||||||||||||||||||||
Put - SOFR Midcurve 1-Year (12/23) |
95.25 | 12/15/23 | CME | 832 | 198,120,000 | 331,053 | (150,800 | ) | ||||||||||||||||||||
Put - SOFR Midcurve 1-Year (12/23) |
95.38 | 12/15/23 | CME | 1,946 | 463,999,375 | |
812,326 |
|
(413,525 | ) | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||
3,921,269 | (2,560,716 | ) | ||||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||
Total Written Options |
$6,265,989 | ($5,504,625 | ) | |||||||||||||||||||||||||
|
|
|
|
(g) | Swap agreements outstanding as of March 31, 2023 were as follows: |
Credit Default Swaps on Corporate Issues Sell Protection (1)
Referenced Obligation | Payment Frequency |
Fixed Deal Receive Rate |
Expiration Date |
Exchange | Implied Credit |
Notional Amount (3) |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
|||||||||||||||||||||||||
Apache Corp. |
Q | 1.000% | 06/20/26 | ICE | 1.334% | $3,337,000 | ($31,997 | ) | ($165,771 | ) | $133,774 | |||||||||||||||||||||||
Apache Corp. |
Q | 1.000% | 12/20/26 | ICE | 1.523% | 8,446,000 | (146,602 | ) | (247,245 | ) | 100,643 | |||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||||
($178,599 | ) | ($413,016 | ) | $234,417 | ||||||||||||||||||||||||||||||
|
|
|
|
|
|
Credit Default Swaps on Credit Indices Buy Protection (4)
Referenced Obligation | Payment Frequency |
Fixed Deal Pay Rate |
Expiration Date |
Exchange | Notional Amount (3) |
Value (5) | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||||||
CDX HY40 5Y |
Q | 5.000% | 06/20/28 | ICE | $27,410,600 | ($423,666 | ) | $83,094 | ($506,760 | ) | ||||||||||||||||||||||
|
|
|
|
|
|
Credit Default Swaps on Credit Indices Sell Protection (1)
Referenced Obligation | Payment Frequency |
Fixed Deal Receive Rate |
Expiration Date |
Exchange | Notional Amount (3) |
Value (5) | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||||||||||
CDX IG40 5Y |
Q | 1.000% | 06/20/28 | ICE | $330,028,000 | $3,778,978 | $2,634,079 | $1,144,899 | ||||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||||||
Total Credit Default Swaps |
$3,176,713 | $2,304,157 | $872,556 | |||||||||||||||||||||||||||||||||
|
|
|
|
|
|
(1) | If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying investments comprising the referenced index or (ii) pay a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index. |
(2) | An implied credit spread is the spread in yield between a U.S. Treasury security and the referenced obligation or underlying investment that are identical in all respects except for the quality rating. Implied credit spreads, represented in the absolute terms, utilized in determining the value of credit default swaps on corporate issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter the agreement. Wider credit spreads, in comparison to narrower credit spreads, represent a deterioration of the referenced entitys credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. |
(3) | The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement. |
(4) | If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying investments comprising the referenced index or (ii) receive a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index. |
(5) | The quoted market prices and resulting values for credit default swap agreements on credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of period end. Increasing values (buy protection) or decreasing values (sell protection), when compared to the notional amount of the swap, represent a deterioration of the referenced entitys credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. |
Interest Rate Swaps Long
Receive | Pay | Payment Frequency Receive Rate/ Pay Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||
7.450% | 28-Day MXN TIIE | L/L | CME | 07/18/29 | MXN 331,270,000 | ($936,985 | ) | $231,686 | ($1,168,671 | ) | ||||||||||||||||
7.440% | 28-Day MXN TIIE | L/L | CME | 07/20/29 | 594,730,000 | (1,692,471 | ) | 303,481 | (1,995,952 | ) | ||||||||||||||||
3.400% | 1-Day U.S. SOFR | A/A | CME | 12/31/29 | $34,337,000 | 423,504 | 69,092 | 354,412 | ||||||||||||||||||
3.250% | 1-Day U.S. SOFR | A/A | CME | 12/31/29 | 52,478,000 | 193,766 | (312,677 | ) | 506,443 | |||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
($2,012,186 | ) | $291,582 | ($2,303,768 | ) | ||||||||||||||||||||||
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
23
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited
Interest Rate Swaps Short
Pay | Receive | Payment Frequency Pay Rate/ Receive Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||||
1.220% | 1-Day U.S. SOFR | A/A | CME | 08/15/28 | $34,412,000 | $4,121,553 | ($2,220 | ) | $4,123,773 | |||||||||||||||||||||
1.130% | 1-Day U.S. SOFR | A/A | CME | 08/15/28 | 26,145,000 | 3,260,650 | 120,805 | 3,139,845 | ||||||||||||||||||||||
2.850% | 1-Day U.S. SOFR | A/A | CME | 02/15/29 | 27,350,000 | 729,547 | 76,992 | 652,555 | ||||||||||||||||||||||
3.270% | 1-Day U.S. SOFR | A/A | CME | 04/30/29 | 57,973,000 | 398,854 | (416,157 | ) | 815,011 | |||||||||||||||||||||
3.850% | 1-Day U.S. SOFR | A/A | CME | 06/30/29 | 51,410,000 | (1,481,534 | ) | 41,575 | (1,523,109 | ) | ||||||||||||||||||||
2.000% | 1-Day U.S. SOFR | A/A | CME | 03/18/32 | 16,189,000 | 1,523,393 | 131,224 | 1,392,169 | ||||||||||||||||||||||
0.641% | 1-Day JPY-TONAR | S/S | CME | 05/09/46 | JPY 2,649,800,000 | 1,594,716 | 3,542 | 1,591,174 | ||||||||||||||||||||||
1.520% | 1-Day U.S. SOFR | A/A | CME | 02/15/47 | $16,888,000 | 4,476,542 | (10,812 | ) | 4,487,354 | |||||||||||||||||||||
1.729% | 1-Day U.S. SOFR | A/A | CME | 02/15/47 | 10,330,000 | 2,373,682 | 255,989 | 2,117,693 | ||||||||||||||||||||||
1.630% | 1-Day U.S. SOFR | A/A | CME | 05/15/47 | 10,060,000 | 2,574,092 | 406,526 | 2,167,566 | ||||||||||||||||||||||
1.650% | 1-Day U.S. SOFR | A/A | CME | 08/15/47 | 4,402,000 | 1,117,576 | 442,539 | 675,037 | ||||||||||||||||||||||
2.510% | 1-Day U.S. SOFR | A/A | CME | 02/15/48 | 10,389,000 | 1,014,261 | 68,167 | 946,094 | ||||||||||||||||||||||
2.620% | 1-Day U.S. SOFR | A/A | CME | 02/15/48 | 11,765,000 | 924,642 | (7,178 | ) | 931,820 | |||||||||||||||||||||
3.050% | 1-Day U.S. SOFR | A/A | CME | 02/15/48 | 12,094,000 | 51,110 | 372,814 | (321,704 | ) | |||||||||||||||||||||
3.150% | 1-Day U.S. SOFR | A/A | CME | 05/15/48 | 20,787,000 | (331,457 | ) | (6,691,057 | ) | 6,359,600 | ||||||||||||||||||||
2.500% | 1-Day U.S. SOFR | A/A | CME | 04/21/52 | 5,275,000 | 500,805 | 20,336 | 480,469 | ||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
$22,848,432 | ($5,186,915 | ) | $28,035,347 | |||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
Total Interest Rate Swaps |
$20,836,246 | ($4,895,333 | ) | $25,731,579 | ||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
Total Swap Agreements |
$24,012,959 | ($2,591,176 | ) | $26,604,135 | ||||||||||||||||||||||||||
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
24
PACIFIC SELECT FUND
DIVERSIFIED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited
(h) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Corporate Bonds & Notes |
$822,016,902 | $- | $822,016,902 | $- | |||||||||||||
Senior Loan Notes |
64,668,124 | - | 63,141,247 | 1,526,877 | ||||||||||||||
Mortgage-Backed Securities |
780,747,174 | - | 780,747,174 | - | ||||||||||||||
Asset-Backed Securities |
61,512,325 | - | 61,512,325 | - | ||||||||||||||
U.S. Treasury Obligations |
202,726,678 | - | 202,726,678 | - | ||||||||||||||
Foreign Government Bonds & Notes |
136,147,196 | - | 136,147,196 | - | ||||||||||||||
Short-Term Investment |
17,057,280 | - | 17,057,280 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Credit Contracts |
||||||||||||||||||
Swaps |
1,379,316 | - | 1,379,316 | - | ||||||||||||||
Foreign Currency Contracts |
- | |||||||||||||||||
Futures |
3,115,251 | 3,115,251 | - | - | ||||||||||||||
Forward Foreign Currency Contracts |
895,495 | - | 895,495 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Foreign Currency Contracts |
4,010,746 | 3,115,251 | 895,495 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
28,340,991 | 28,340,991 | - | - | ||||||||||||||
Purchased Options |
1,120,695 | - | 1,120,695 | - | ||||||||||||||
Swaps |
30,741,015 | - | 30,741,015 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Interest Rate Contracts |
60,202,701 | 28,340,991 | 31,861,710 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Asset - Derivatives |
65,592,763 | 31,456,242 | 34,136,521 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
2,150,468,442 | 31,456,242 | 2,117,485,323 | 1,526,877 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Due to Custodian |
(5,365,345 | ) | - | (5,365,345 | ) | - | |||||||||||
Derivatives: |
||||||||||||||||||
Credit Contracts |
||||||||||||||||||
Swaps |
(506,760 | ) | - | (506,760 | ) | - | ||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Futures |
(320,014 | ) | (320,014 | ) | - | - | ||||||||||||
Forward Foreign Currency Contracts |
(8,912,811 | ) | - | (8,912,811 | ) | - | ||||||||||||
Written Options |
(85,206 | ) | - | (85,206 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Foreign Currency Contracts |
(9,318,031 | ) | (320,014 | ) | (8,998,017 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
(18,967,573 | ) | (18,967,573 | ) | - | - | ||||||||||||
Written Options |
(5,419,419 | ) | - | (5,419,419 | ) | - | ||||||||||||
Swaps |
(5,009,436 | ) | - | (5,009,436 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Interest Rate Contracts |
(29,396,428 | ) | (18,967,573 | ) | (10,428,855 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities - Derivatives |
(39,221,219 | ) | (19,287,587 | ) | (19,933,632 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(44,586,564 | ) | (19,287,587 | ) | (25,298,977 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$2,105,881,878 | $12,168,655 | $2,092,186,346 | $1,526,877 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
25
PACIFIC SELECT FUND
FLOATING RATE INCOME PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
EXCHANGE-TRADED FUNDS - 3.2% |
||||||||
Invesco Senior Loan ETF |
245,340 | $5,103,072 | ||||||
SPDR Bloomberg Short Term High Yield Bond |
206,570 | 5,131,199 | ||||||
|
|
|||||||
10,234,271 | ||||||||
|
|
|||||||
Total Exchange-Traded Funds |
10,234,271 | |||||||
|
|
|||||||
Principal |
||||||||
CORPORATE BONDS & NOTES - 9.8% |
||||||||
Consumer, Cyclical - 2.9% |
||||||||
American Airlines, Inc. |
$4,000,000 | 4,380,200 | ||||||
Carnival Corp. |
1,500,000 | 1,546,530 | ||||||
Merlin Entertainments Ltd. (United Kingdom) |
3,287,000 | 3,121,501 | ||||||
|
|
|||||||
9,048,231 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 1.7% |
||||||||
Allied Universal Holdco LLC/Allied Universal Finance Corp. |
2,000,000 | 1,924,000 | ||||||
Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL |
3,000,000 | 2,521,405 | ||||||
CoreLogic, Inc. |
1,250,000 | 949,606 | ||||||
|
|
|||||||
5,395,011 | ||||||||
|
|
|||||||
Financial - 5.0% |
||||||||
Acrisure LLC/Acrisure Finance, Inc. |
2,000,000 | 1,876,390 | ||||||
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer |
2,000,000 | 1,979,560 | ||||||
AssuredPartners, Inc. |
7,450,000 | 7,255,928 | ||||||
HUB International Ltd. |
2,750,000 | 2,705,389 | ||||||
Ryan Specialty Group LLC |
2,250,000 | 1,970,162 | ||||||
|
|
|||||||
15,787,429 | ||||||||
|
|
|||||||
Technology - 0.2% |
||||||||
Central Parent, Inc./CDK Global, Inc. |
500,000 | 491,889 | ||||||
|
|
|||||||
Total Corporate Bonds & Notes |
30,722,560 | |||||||
|
|
|||||||
SENIOR LOAN NOTES - 84.3% |
||||||||
Basic Materials - 2.9% |
||||||||
Diamond BV Term B |
2,992,424 | 2,984,009 | ||||||
Lonza Group AG Term B |
1,915,601 | 1,783,105 | ||||||
PMHC II, Inc. Term B |
1,877,782 | 1,666,531 |
Principal |
Value |
|||||||
Starfruit Finco BV Term B |
$ 1,993,218 | $ 1,981,295 | ||||||
Vantage Specialty Chemicals, Inc. Term B |
748,125 | 722,253 | ||||||
|
|
|||||||
9,137,193 | ||||||||
|
|
|||||||
Communications - 5.7% |
||||||||
Arches Buyer, Inc. Term B |
3,619,524 | 3,423,845 | ||||||
CNT Holdings I Corp. (2nd Lien) |
6,620,000 | 6,272,450 | ||||||
Hunter Holdco 3 Ltd. Term B |
935,469 | 920,267 | ||||||
MH Sub I LLC |
3,490,802 | 3,438,153 | ||||||
Pug LLC Term B |
4,143,050 | 3,024,426 | ||||||
PUG LLC Term B |
806,392 | 593,706 | ||||||
Xplornet Communications, Inc. (2nd Lien) (Canada) |
500,000 | 325,000 | ||||||
|
|
|||||||
17,997,847 | ||||||||
|
|
|||||||
Consumer, Cyclical - 10.4% |
||||||||
BCPE Empire Holdings, Inc. |
||||||||
8.840% (USD LIBOR + 4.000%) due 06/11/26 § |
1,231,289 | 1,209,742 | ||||||
9.532% (SOFR + 4.625%) due 06/11/26 § |
294,244 | 291,596 | ||||||
Term B 8.840% (USD LIBOR + 4.000%) due 06/11/26 § |
1,734,067 | 1,705,348 | ||||||
Caesars Entertainment Corp. Term B |
2,500,000 | 2,490,625 | ||||||
Carnival Corp. |
||||||||
Term B 7.840% (USD LIBOR + 3.000%) due 06/30/25 § |
3,872,846 | 3,830,244 | ||||||
8.090% (USD LIBOR + 3.250%) due 10/18/28 § |
1,835,354 | 1,797,499 | ||||||
ClubCorp Holdings, Inc. Term B |
8,532,864 | 8,178,221 | ||||||
Fertitta Entertainment LLC Term B |
3,459,898 | 3,413,404 | ||||||
SeaWorld Parks & Entertainment, Inc. Term B |
1,994,937 | 1,989,949 | ||||||
Solis IV BV Term B1 (Netherlands) |
2,113,676 | 1,911,292 | ||||||
Springs Windows Fashions LLC Term B |
1,702,576 | 1,445,061 | ||||||
SRS Distribution, Inc. Term B |
4,853,520 | 4,689,714 | ||||||
|
|
|||||||
32,952,695 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
26
PACIFIC SELECT FUND
FLOATING RATE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Consumer, Non - Cyclical - 18.1% |
||||||||
Allied Universal Holdco LLC/Allied Universal Finance Corp. Term B |
$ 2,541,964 | $ 2,416,454 | ||||||
CoreLogic, Inc. |
||||||||
(2nd Lien) 11.375% (USD LIBOR + 6.500%) due 06/04/29 § |
4,000,000 | 2,987,500 | ||||||
Term B 8.375% (USD LIBOR + 3.500%) due 06/02/28 § |
422,627 | 361,611 | ||||||
Da Vinci Purchaser Corp. Term B |
1 | 1 | ||||||
Gainwell Acquisition Corp. Term B |
3,209,369 | 3,058,930 | ||||||
Heartland Dental LLC (1st Lien) |
1,727,437 | 1,618,751 | ||||||
Mavis Tire Express Services Corp. Term B |
3,267,549 | 3,211,900 | ||||||
Midwest Veterinary Partners LLC |
6,628,569 | 6,142,476 | ||||||
Packaging Coordinators Midco, Inc. (1st Lien) |
2,170,637 | 2,127,767 | ||||||
Pathway Vet Alliance LLC Term B |
8,050,611 | 7,091,727 | ||||||
PECF USS Intermediate Holding III Corp. Term B |
1,234,375 | 1,044,590 | ||||||
PetVet Care Centers LLC Term B3 |
||||||||
(2nd Lien) 11.090% (USD LIBOR + 6.250%) due 02/13/26 § |
5,000,000 | 4,483,335 | ||||||
Term B 8.090% (USD LIBOR + 3.250%) due 02/14/25 § |
1,353,043 | 1,304,417 | ||||||
Term B3 8.340% (USD LIBOR + 3.500%) due 02/14/25 § |
3,491,193 | 3,393,003 | ||||||
Spin Holdco, Inc. Term B |
3,143,396 | 2,654,205 | ||||||
Sunshine Luxembourg VII SARL Term B3 (Luxembourg) |
6,714,960 | 6,659,199 | ||||||
Team Health Holdings, Inc. Term B |
3,998,816 | 2,792,505 | ||||||
Verscend Holding Corp. Term B |
5,984,772 | 5,987,016 | ||||||
|
|
|||||||
57,335,387 | ||||||||
|
|
|||||||
Financial - 11.1% |
||||||||
Acrisure LLC Term B |
5,674,965 | 5,578,020 |
Principal |
Value |
|||||||
Apex Group Treasury LLC |
||||||||
Term B 8.556% (USD LIBOR + 3.750%) due 07/27/28 § µ |
$ 3,989,873 | $ 3,880,152 | ||||||
9.658% (SOFR + 5.000%) due 07/27/28 § µ |
2,500 | 2,494 | ||||||
AssuredPartners, Inc. Term B |
3,352,254 | 3,324,969 | ||||||
Deerfield Dakota Holding LLC (2nd Lien) |
10,460,000 | 9,682,038 | ||||||
HUB International Ltd. |
||||||||
Term B 7.818% (USD LIBOR + 3.000%) due 04/25/25 § µ |
5,984,293 | 5,974,431 | ||||||
8.692% (SOFR + 4.000%) due 11/10/29 § µ |
845,344 | 844,522 | ||||||
Term B3 8.058% (USD LIBOR + 3.250%) due 04/25/25 § |
1,994,898 | 1,993,340 | ||||||
Hyperion Refinance Sarl Term B (United Kingdom) |
750,000 | 746,250 | ||||||
USI, Inc. Term B |
3,241,855 | 3,237,802 | ||||||
|
|
|||||||
35,264,018 | ||||||||
|
|
|||||||
Industrial 16.0% |
||||||||
ASP LS Acquisition Corp |
2,575,887 | 2,224,922 | ||||||
Charter NEX US, Inc. |
3,000,000 | 2,968,125 | ||||||
Crosby US Acquisition Corp. |
500,000 | 485,000 | ||||||
Term B 9.601% (SOFR + 4.750%) due 06/26/26 § µ |
748,057 | 725,148 | ||||||
Dynasty Acquisition Co., Inc. |
||||||||
Term B1 8.407% (SOFR + 3.500%) due 04/06/26 § µ |
2,594,677 | 2,543,964 | ||||||
Term B2 8.407% (SOFR + 3.500%) due 04/06/26 § µ |
1,394,987 | 1,367,722 | ||||||
Engineered Components & Systems LLC Term B |
578,535 | 535,145 | ||||||
Filtration Group Corp. (1st Lien) |
1,994,537 | 1,992,044 | ||||||
Flynn Canada Term B (Canada) |
633,343 | 595,343 | ||||||
KKR Apple Bidco LLC |
997,475 | 988,902 | ||||||
LABL, Inc. (1st Lien) |
3,783,350 | 3,669,589 | ||||||
LTI Holdings, Inc. (1st Lien) |
3,161,707 | 3,055,986 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
27
PACIFIC SELECT FUND
FLOATING RATE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Pretium PKG Holdings, Inc. |
||||||||
(1st Lien) 7.743% (USD LIBOR + 4.000%) due 10/02/28 § |
$ 1,341,604 | $ 1,065,138 | ||||||
(2nd Lien) 11.538% (USD LIBOR + 6.750%) due 10/01/29 § |
1,250,000 | 802,735 | ||||||
Pro Mach Group, Inc. Term B |
1,689,829 | 1,684,549 | ||||||
Proampac PG Borrower LLC Term B |
3,987,418 | 3,917,638 | ||||||
Roper Industrial Products Investment Co. LLC |
4,500,000 | 4,473,000 | ||||||
SPX FLOW, Inc. Term B |
4,426,671 | 4,244,071 | ||||||
Star US Bidco LLC Term B |
2,674,913 | 2,599,681 | ||||||
Titan Acquisition Ltd. Term B (Canada) |
1,496,063 | 1,422,819 | ||||||
TransDigm, Inc. |
||||||||
Term H 8.148% (SOFR + 3.250%) due 02/22/27 § µ |
6,241,902 | 6,255,947 | ||||||
Term I 7.825% (SOFR + 3.250%) due 08/24/28 § µ |
2,000,000 | 1,997,362 | ||||||
WP CPP Holdings LLC Term B |
1,175,103 | 1,076,100 | ||||||
|
|
|||||||
50,690,930 | ||||||||
|
|
|||||||
Technology - 20.1% |
||||||||
Applied Systems, Inc. |
||||||||
(1st Lien) 9.398% (SOFR + 4.500%) due 09/18/26 § |
2,866,075 | 2,865,479 | ||||||
(2nd Lien) 11.648% (SOFR + 6.750%) due 09/17/27 § |
3,653,223 | 3,666,922 | ||||||
AthenaHealth Group, Inc. |
||||||||
Term B 8.160% (SOFR + 3.500%) due 02/15/29 § f |
109,162 | 101,794 | ||||||
8.259% (SOFR + 3.500%) due 02/15/29 § µ |
888,599 | 828,619 | ||||||
Azalea Topco Inc. Term B |
249,354 | 233,665 | ||||||
Central Parent Inc. Term B |
1,496,250 | 1,494,513 | ||||||
Epicor Software Corp. (2nd Lien) |
10,002,673 | 9,977,667 | ||||||
Finastra USA, Inc. (1st Lien) |
4,796,325 | 4,513,543 | ||||||
Peraton Corp |
||||||||
(2nd Lien) 12.651% (USD LIBOR + 7.750%) due 02/01/29 § |
1,241,617 | 1,207,472 | ||||||
Term B 8.590% (USD LIBOR + 3.750%) due 02/01/28 § |
2,198,387 | 2,172,556 |
Principal |
Value |
|||||||
Polaris Newco LLC Term B |
$ 5,862,122 | $ 5,360,910 | ||||||
RealPage, Inc. (2nd Lien) |
13,575,549 | 12,854,348 | ||||||
Sophia LP (2nd Lien) |
4,750,000 | 4,732,188 | ||||||
Sovos Compliance LLC Term B |
5,383,223 | 5,107,332 | ||||||
Tempo Acquisition LLC Term B |
2,992,424 | 2,992,798 | ||||||
UKG, Inc. |
||||||||
8.271% (USD LIBOR + 3.250%) due 05/04/26 § µ |
2,817,669 | 2,749,239 | ||||||
Term B 8.575% (USD LIBOR + 3.750%) due 05/04/26 § µ |
1,465,650 | 1,430,841 | ||||||
Ultimate Software Group, Inc. (2nd Lien) |
1,750,000 | 1,688,750 | ||||||
|
|
|||||||
63,978,636 | ||||||||
|
|
|||||||
Total Senior Loan Notes |
267,356,706 | |||||||
|
|
|||||||
SHORT-TERM INVESTMENT - 6.2% |
||||||||
Repurchase Agreement - 6.2% |
||||||||
Fixed Income Clearing Corp. |
19,749,351 | 19,749,351 | ||||||
|
|
|||||||
Total Short-Term Investment |
19,749,351 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 103.5% |
|
328,062,888 | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (3.5%) |
|
(10,950,681 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$317,112,207 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
28
PACIFIC SELECT FUND
FLOATING RATE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Exchange-Traded Funds |
$10,234,271 | $10,234,271 | $- | $- | |||||||||||||
Corporate Bonds & Notes |
30,722,560 | - | 30,722,560 | - | ||||||||||||||
Senior Loan Notes |
267,356,706 | - | 258,397,518 | 8,959,188 | ||||||||||||||
Short-Term Investment |
19,749,351 | - | 19,749,351 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$328,062,888 | $10,234,271 | $308,869,429 | $8,959,188 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
29
PACIFIC SELECT FUND
FLOATING RATE INCOME PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
The following is a reconciliation of investments for significant unobservable inputs (Level 3) used in valuing the Funds assets and liabilities for the period ended March 31, 2023:
Senior Loan Notes |
||||
Value, Beginning of Period |
$33,014,103 | |||
Purchases |
1,150,000 | |||
Sales (Includes Paydowns) |
(24,384,999 | ) | ||
Accrued Discounts (Premiums) |
24,174 | |||
Net Realized Gains (Losses) |
(614,527 | ) | ||
Change in Net Unrealized Appreciation (Depreciation) |
1,154,437 | |||
Transfers In |
6,272,450 | |||
Transfers Out |
(7,656,450 | ) | ||
|
|
|||
Value, End of Period |
$8,959,188 | |||
|
|
|||
Change in Net Unrealized Appreciation (Depreciation) on Level 3 Investments Held at the End of Period, if Applicable |
$216,159 | |||
|
|
The table below shows transfers to/from Level 3:
Amount | Level Transfer | Change in Fair Valuation Measurement Inputs | ||||||||||||
Transferred | From | To | From | To | ||||||||||
|
| |||||||||||||
$6,272,450 | 2 | 3 | Vendor Price (Observable Inputs) |
Unobservable Single Broker Quote | ||||||||||
7,656,450 | 3 | 2 | Unobservable Single Broker Quote |
Vendor Price (Observable Inputs) |
All other significant unobservable inputs used to value Senior Loan Notes with the aggregate value of $8,959,188 were provided by a single broker quote. Significant changes to a single broker quote would have direct and proportional changes to the fair value of the security.
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
30
PACIFIC SELECT FUND
HIGH YIELD BOND PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 0.0% |
| |||||||
Industrial - 0.0% |
| |||||||
TNT Crane & Rigging, Inc. * |
11,518 | $92,144 | ||||||
|
|
|||||||
Total Common Stocks |
|
92,144 | ||||||
|
|
|||||||
Principal |
||||||||
CORPORATE BONDS & NOTES - 87.0% |
||||||||
Basic Materials - 5.5% |
||||||||
Constellium SE |
||||||||
5.625% due 06/15/28 ~ |
$1,250,000 | 1,181,545 | ||||||
5.875% due 02/15/26 ~ |
292,000 | 292,584 | ||||||
Hecla Mining Co. |
6,550,000 | 6,623,393 | ||||||
Herens Holdco SARL (Luxembourg) |
5,975,000 | 4,816,238 | ||||||
INEOS Quattro Finance 2 PLC (United Kingdom) |
4,600,000 | 4,174,136 | ||||||
JW Aluminum Continuous Cast Co. |
1,250,000 | 1,257,994 | ||||||
Novelis Corp. |
||||||||
3.875% due 08/15/31 ~ |
2,925,000 | 2,467,881 | ||||||
4.750% due 01/30/30 ~ |
4,333,000 | 3,986,360 | ||||||
Perenti Finance Pty Ltd. (Australia) |
3,550,000 | 3,447,938 | ||||||
South32 Treasury Ltd. (Australia) |
4,500,000 | 4,016,606 | ||||||
SPCM SA (France) |
5,250,000 | 4,336,950 | ||||||
TMS International Corp. |
6,925,000 | 5,347,010 | ||||||
|
|
|||||||
41,948,635 | ||||||||
|
|
|||||||
Communications - 12.2% |
||||||||
CCO Holdings LLC/CCO Holdings Capital Corp. |
| |||||||
4.250% due 02/01/31 ~ |
1,850,000 | 1,514,836 | ||||||
4.250% due 01/15/34 ~ |
1,450,000 | 1,135,618 | ||||||
4.750% due 03/01/30 ~ |
8,400,000 | 7,287,000 | ||||||
5.000% due 02/01/28 ~ |
675,000 | 623,508 | ||||||
5.375% due 06/01/29 ~ |
11,700,000 | 10,756,161 | ||||||
6.375% due 09/01/29 ~ |
2,225,000 | 2,126,878 | ||||||
Ciena Corp. |
4,200,000 | 3,657,780 | ||||||
Clear Channel Outdoor Holdings, Inc. |
||||||||
5.125% due 08/15/27 ~ |
4,450,000 | 3,998,503 | ||||||
7.750% due 04/15/28 ~ |
275,000 | 206,498 | ||||||
Cogent Communications Group, Inc. |
2,675,000 | 2,654,670 | ||||||
CommScope Technologies LLC |
5,521,000 | 5,204,845 | ||||||
CommScope, Inc. |
||||||||
4.750% due 09/01/29 ~ |
1,025,000 | 855,363 | ||||||
8.250% due 03/01/27 ~ |
700,000 | 574,000 | ||||||
CSC Holdings LLC |
||||||||
3.375% due 02/15/31 ~ |
3,300,000 | 2,285,910 | ||||||
4.625% due 12/01/30 ~ |
2,400,000 | 1,185,720 | ||||||
5.250% due 06/01/24 |
1,100,000 | 1,062,754 | ||||||
5.375% due 02/01/28 ~ |
650,000 | 533,134 | ||||||
5.750% due 01/15/30 ~ |
2,300,000 | 1,213,250 | ||||||
6.500% due 02/01/29 ~ |
6,550,000 | 5,445,785 | ||||||
7.500% due 04/01/28 ~ |
625,000 | 399,000 |
Principal |
Value |
|||||||
DISH Network Corp. |
$ 8,425,000 | $ 8,181,138 | ||||||
Frontier Communications Holdings LLC |
||||||||
5.000% due 05/01/28 ~ |
2,250,000 | 1,954,980 | ||||||
5.875% due 10/15/27 ~ |
1,175,000 | 1,069,250 | ||||||
8.625% due 03/15/31 ~ |
2,400,000 | 2,352,684 | ||||||
Level 3 Financing, Inc. |
||||||||
3.625% due 01/15/29 ~ |
1,925,000 | 1,066,373 | ||||||
3.750% due 07/15/29 ~ |
575,000 | 307,320 | ||||||
4.625% due 09/15/27 ~ |
6,650,000 | 4,004,297 | ||||||
10.500% due 05/15/30 |
577,500 | 552,234 | ||||||
Lumen Technologies, Inc. |
4,000,000 | 2,643,660 | ||||||
Outfront Media Capital LLC/Outfront Media Capital Corp. |
| |||||||
4.250% due 01/15/29 ~ |
1,250,000 | 1,038,906 | ||||||
5.000% due 08/15/27 ~ |
4,725,000 | 4,261,666 | ||||||
Sirius XM Radio, Inc. |
2,425,000 | 1,887,826 | ||||||
Sprint Capital Corp. |
3,500,000 | 4,264,960 | ||||||
Uber Technologies, Inc. |
6,075,000 | 6,234,165 | ||||||
|
|
|||||||
92,540,672 | ||||||||
|
|
|||||||
Consumer, Cyclical - 17.8% |
||||||||
American Airlines Pass-Through Trust Class B |
| |||||||
3.950% due 07/11/30 |
1,400,985 | 1,232,904 | ||||||
5.250% due 01/15/24 |
2,314,858 | 2,267,493 | ||||||
American Airlines, Inc./AAdvantage Loyalty IP Ltd. |
3,170,000 | 3,044,154 | ||||||
Aramark Services, Inc. |
5,935,000 | 5,984,023 | ||||||
Boyd Gaming Corp. |
6,363,000 | 5,784,603 | ||||||
Caesars Entertainment, Inc. |
6,275,000 | 6,406,147 | ||||||
Cedar Fair LP |
6,250,000 | 5,833,719 | ||||||
Cedar Fair LP/Canadas Wonderland Co./Magnum Management Corp./ Millennium Op |
1,775,000 | 1,724,164 | ||||||
Clarios Global LP/Clarios US Finance Co. |
||||||||
6.250% due 05/15/26 ~ |
1,350,000 | 1,348,157 | ||||||
8.500% due 05/15/27 ~ |
1,175,000 | 1,181,609 | ||||||
Empire Resorts, Inc. |
1,100,000 | 911,379 | ||||||
Fertitta Entertainment LLC/Fertitta Entertainment |
| |||||||
4.625% due 01/15/29 ~ |
2,450,000 | 2,153,183 | ||||||
6.750% due 01/15/30 ~ |
3,650,000 | 3,006,250 | ||||||
Ford Motor Co. |
||||||||
3.250% due 02/12/32 |
11,400,000 | 8,975,979 | ||||||
4.750% due 01/15/43 |
2,500,000 | 1,920,550 | ||||||
6.100% due 08/19/32 |
1,625,000 | 1,576,999 | ||||||
Ford Motor Credit Co. LLC |
||||||||
3.375% due 11/13/25 |
600,000 | 563,169 | ||||||
4.950% due 05/28/27 |
1,200,000 | 1,146,360 | ||||||
Foundation Building Materials, Inc. |
4,400,000 | 3,493,325 | ||||||
Hilton Grand Vacations Borrower Escrow LLC/Hilton |
| |||||||
4.875% due 07/01/31 ~ |
3,675,000 | 3,141,794 | ||||||
5.000% due 06/01/29 ~ |
2,775,000 | 2,467,711 | ||||||
Jacobs Entertainment, Inc. |
4,950,000 | 4,329,322 | ||||||
Las Vegas Sands Corp. |
4,950,000 | 4,472,969 | ||||||
LBM Acquisition LLC |
3,825,000 | 2,931,845 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
31
PACIFIC SELECT FUND
HIGH YIELD BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
LGI Homes, Inc. |
$ 6,550,000 | $ 5,328,360 | ||||||
MajorDrive Holdings IV LLC |
6,918,000 | 5,131,491 | ||||||
Marriott Ownership Resorts, Inc. |
||||||||
4.500% due 06/15/29 ~ |
2,350,000 | 2,002,976 | ||||||
4.750% due 01/15/28 |
4,450,000 | 3,982,261 | ||||||
Midwest Gaming Borrower LLC/Midwest |
5,250,000 | 4,570,013 | ||||||
New Red Finance, Inc. (Canada) |
||||||||
3.500% due 02/15/29 ~ |
2,700,000 | 2,419,983 | ||||||
3.875% due 01/15/28 ~ |
900,000 | 837,873 | ||||||
4.000% due 10/15/30 ~ |
8,150,000 | 6,995,960 | ||||||
4.375% due 01/15/28 ~ |
2,700,000 | 2,495,232 | ||||||
NMG Holding Co., Inc./Neiman Marcus |
2,475,000 | 2,325,931 | ||||||
PetSmart, Inc./PetSmart Finance Corp. |
750,000 | 704,738 | ||||||
Royal Caribbean Cruises Ltd. |
||||||||
7.250% due 01/15/30 ~ |
925,000 | 931,614 | ||||||
9.250% due 01/15/29 ~ |
2,675,000 | 2,844,769 | ||||||
11.625% due 08/15/27 ~ |
900,000 | 967,500 | ||||||
Scientific Games International, Inc. |
1,350,000 | 1,337,816 | ||||||
SeaWorld Parks & Entertainment, Inc. |
5,700,000 | 5,151,261 | ||||||
Six Flags Entertainment Corp. |
||||||||
4.875% due 07/31/24 ~ |
3,000,000 | 2,957,827 | ||||||
5.500% due 04/15/27 ~ |
1,125,000 | 1,091,644 | ||||||
STL Holding Co. LLC |
4,400,000 | 3,869,008 | ||||||
Viking Cruises Ltd. |
||||||||
6.250% due 05/15/25 ~ |
1,245,000 | 1,170,852 | ||||||
7.000% due 02/15/29 ~ |
1,775,000 | 1,524,281 | ||||||
Viking Ocean Cruises Ship VII Ltd. |
275,000 | 236,328 | ||||||
|
|
|||||||
134,775,526 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 14.6% |
||||||||
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC |
| |||||||
3.500% due 03/15/29 ~ |
1,350,000 | 1,175,896 | ||||||
4.625% due 01/15/27 ~ |
550,000 | 532,455 | ||||||
5.875% due 02/15/28 ~ |
8,375,000 | 8,332,287 | ||||||
Allied Universal Holdco LLC/Allied Universal Finance Corp. |
| |||||||
6.000% due 06/01/29 ~ |
1,250,000 | 934,506 | ||||||
6.625% due 07/15/26 ~ |
250,000 | 240,500 | ||||||
9.750% due 07/15/27 ~ |
10,200,000 | 9,100,950 | ||||||
Avantor Funding, Inc. |
||||||||
3.875% due 11/01/29 ~ |
500,000 | 447,960 | ||||||
4.625% due 07/15/28 ~ |
3,975,000 | 3,769,930 | ||||||
Bausch Health Cos., Inc. |
||||||||
4.875% due 06/01/28 ~ |
4,275,000 | 2,526,097 | ||||||
6.125% due 02/01/27 ~ |
550,000 | 356,521 | ||||||
11.000% due 09/30/28 ~ |
2,787,000 | 2,064,721 | ||||||
Central Garden & Pet Co. |
4,925,000 | 4,257,515 | ||||||
Charles River Laboratories International, Inc. |
| |||||||
3.750% due 03/15/29 ~ |
825,000 | 733,142 | ||||||
4.000% due 03/15/31 ~ |
3,100,000 | 2,715,272 | ||||||
4.250% due 05/01/28 ~ |
3,350,000 | 3,139,285 | ||||||
CHS/Community Health Systems, Inc. |
||||||||
4.750% due 02/15/31 ~ |
1,305,000 | 964,787 | ||||||
5.250% due 05/15/30 ~ |
450,000 | 353,408 | ||||||
5.625% due 03/15/27 ~ |
3,100,000 | 2,724,714 | ||||||
6.125% due 04/01/30 ~ |
1,050,000 | 633,707 | ||||||
CoreLogic, Inc. |
4,500,000 | 3,418,582 | ||||||
Garda World Security Corp. (Canada) |
||||||||
6.000% due 06/01/29 ~ |
1,100,000 | 875,914 |
Principal |
Value |
|||||||
9.500% due 11/01/27 ~ |
$ 3,117,000 | $ 2,960,433 | ||||||
Hertz Corp. |
4,450,000 | 3,690,563 | ||||||
Lamb Weston Holdings, Inc. |
||||||||
4.125% due 01/31/30 ~ |
1,325,000 | 1,213,627 | ||||||
4.375% due 01/31/32 ~ |
4,250,000 | 3,858,183 | ||||||
Medline Borrower LP |
1,975,000 | 1,715,603 | ||||||
MPH Acquisition Holdings LLC |
||||||||
5.500% due 09/01/28 ~ |
975,000 | 776,051 | ||||||
5.750% due 11/01/28 ~ |
5,550,000 | 3,998,297 | ||||||
Option Care Health, Inc. |
4,350,000 | 3,846,334 | ||||||
PECF USS Intermediate Holding III Corp. 8.000% due 11/15/29 ~ |
4,800,000 | 3,193,416 | ||||||
Performance Food Group, Inc. |
6,475,000 | 5,821,395 | ||||||
Pilgrims Pride Corp. |
2,800,000 | 2,472,330 | ||||||
Post Holdings, Inc. |
6,600,000 | 5,921,190 | ||||||
Select Medical Corp. |
6,550,000 | 6,360,083 | ||||||
Tenet Healthcare Corp. |
||||||||
4.250% due 06/01/29 |
1,525,000 | 1,381,055 | ||||||
4.375% due 01/15/30 |
1,950,000 | 1,751,880 | ||||||
4.625% due 06/15/28 |
675,000 | 623,420 | ||||||
6.125% due 10/01/28 |
4,075,000 | 3,909,331 | ||||||
6.125% due 06/15/30 ~ |
575,000 | 567,755 | ||||||
6.250% due 02/01/27 |
1,275,000 | 1,255,238 | ||||||
US Foods, Inc. |
6,850,000 | 6,185,804 | ||||||
|
|
|||||||
110,800,137 | ||||||||
|
|
|||||||
Energy - 10.8% |
||||||||
Antero Midstream Partners LP/Antero Midstream Finance Corp. |
6,600,000 | 6,219,250 | ||||||
Antero Resources Corp. |
||||||||
5.375% due 03/01/30 ~ |
2,550,000 | 2,375,006 | ||||||
7.625% due 02/01/29 ~ |
1,961,000 | 2,007,044 | ||||||
Archrock Partners LP/Archrock Partners Finance Corp. |
| |||||||
6.250% due 04/01/28 ~ |
625,000 | 600,600 | ||||||
6.875% due 04/01/27 ~ |
3,200,000 | 3,143,120 | ||||||
Ascent Resources Utica Holdings LLC/ARU Finance Corp. |
4,550,000 | 4,019,902 | ||||||
Callon Petroleum Co. |
2,025,000 | 1,905,454 | ||||||
Cheniere Energy Partners LP |
||||||||
4.000% due 03/01/31 |
1,425,000 | 1,269,647 | ||||||
4.500% due 10/01/29 |
1,000,000 | 929,946 | ||||||
Comstock Resources, Inc. |
3,225,000 | 2,773,719 | ||||||
CQP Holdco LP/BIP-V Chinook Holdco LLC 5.500% due 06/15/31 ~ |
5,575,000 | 5,017,611 | ||||||
Crescent Energy Finance LLC |
925,000 | 887,773 | ||||||
Endeavor Energy Resources LP/EER Finance, Inc. |
6,375,000 | 6,333,499 | ||||||
EnLink Midstream LLC |
4,725,000 | 4,783,117 | ||||||
EQM Midstream Partners LP |
||||||||
5.500% due 07/15/28 |
1,525,000 | 1,387,079 | ||||||
6.000% due 07/01/25 ~ |
340,000 | 336,539 | ||||||
6.500% due 07/01/27 ~ |
2,200,000 | 2,134,726 | ||||||
7.500% due 06/01/27 ~ |
50,000 | 50,249 | ||||||
7.500% due 06/01/30 ~ |
50,000 | 48,497 | ||||||
Genesis Energy LP/Genesis Energy Finance Corp. |
| |||||||
7.750% due 02/01/28 |
4,420,000 | 4,290,841 | ||||||
8.875% due 04/15/30 |
150,000 | 152,010 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
32
PACIFIC SELECT FUND
HIGH YIELD BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
ITT Holdings LLC |
$ 4,100,000 | $ 3,465,402 | ||||||
Occidental Petroleum Corp. |
4,500,000 | 4,673,318 | ||||||
Range Resources Corp. |
2,200,000 | 2,320,890 | ||||||
SM Energy Co. |
775,000 | 740,249 | ||||||
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp. |
| |||||||
6.000% due 12/31/30 ~ |
2,500,000 | 2,237,513 | ||||||
6.000% due 09/01/31 ~ |
2,425,000 | 2,147,476 | ||||||
Tap Rock Resources LLC |
4,625,000 | 4,055,977 | ||||||
Targa Resources Partners LP/Targa Resources Partners Finance Corp. |
| |||||||
4.000% due 01/15/32 |
2,850,000 | 2,487,067 | ||||||
5.000% due 01/15/28 |
1,350,000 | 1,306,624 | ||||||
USA Compression Partners LP/USA Compression Finance Corp. |
1,350,000 | 1,291,349 | ||||||
Venture Global Calcasieu Pass LLC |
||||||||
3.875% due 08/15/29 ~ |
975,000 | 880,328 | ||||||
3.875% due 11/01/33 ~ |
5,415,000 | 4,554,800 | ||||||
4.125% due 08/15/31 ~ |
975,000 | 857,600 | ||||||
6.250% due 01/15/30 ~ |
200,000 | 201,696 | ||||||
|
|
|||||||
81,885,918 | ||||||||
|
|
|||||||
Financial - 3.9% |
||||||||
Avolon Holdings Funding Ltd. (Ireland) |
||||||||
2.750% due 02/21/28 ~ |
3,500,000 | 2,924,264 | ||||||
3.250% due 02/15/27 ~ |
1,500,000 | 1,332,620 | ||||||
Howard Hughes Corp. |
||||||||
4.375% due 02/01/31 ~ |
5,575,000 | 4,495,011 | ||||||
5.375% due 08/01/28 ~ |
3,425,000 | 3,123,942 | ||||||
Iron Mountain, Inc. |
||||||||
4.500% due 02/15/31 ~ |
650,000 | 559,195 | ||||||
4.875% due 09/15/29 ~ |
3,450,000 | 3,104,586 | ||||||
5.000% due 07/15/28 ~ |
925,000 | 861,744 | ||||||
5.250% due 03/15/28 ~ |
700,000 | 667,761 | ||||||
OneMain Finance Corp. |
5,100,000 | 4,907,730 | ||||||
Park Intermediate Holdings LLC/PK |
5,400,000 | 4,651,911 | ||||||
VICI Properties LP/VICI Note Co., Inc. REIT |
||||||||
3.750% due 02/15/27 ~ |
1,750,000 | 1,617,114 | ||||||
4.625% due 12/01/29 ~ |
1,375,000 | 1,252,948 | ||||||
|
|
|||||||
29,498,826 | ||||||||
|
|
|||||||
Industrial - 17.5% |
||||||||
ARD Finance SA (Luxembourg) |
710,980 | 544,753 | ||||||
BWX Technologies, Inc. |
||||||||
4.125% due 06/30/28 ~ |
7,350,000 | 6,626,903 | ||||||
4.125% due 04/15/29 ~ |
2,050,000 | 1,820,334 | ||||||
Cargo Aircraft Management, Inc. |
6,175,000 | 5,528,292 | ||||||
Chart Industries, Inc. |
||||||||
7.500% due 01/01/30 ~ |
2,525,000 | 2,612,037 | ||||||
9.500% due 01/01/31 ~ |
2,325,000 | 2,455,095 | ||||||
Clean Harbors, Inc. |
4,525,000 | 4,621,382 | ||||||
Clydesdale Acquisition Holdings, Inc. |
||||||||
6.625% due 04/15/29 ~ |
1,575,000 | 1,517,355 | ||||||
8.750% due 04/15/30 ~ |
1,125,000 | 1,023,671 |
Principal |
Value |
|||||||
First Student Bidco, Inc./First Transit Parent, Inc. |
$ 4,800,000 | $ | 4,181,035 | |||||
GFL Environmental, Inc. (Canada) |
||||||||
3.500% due 09/01/28 ~ |
7,050,000 | 6,386,842 | ||||||
3.750% due 08/01/25 ~ |
25,000 | 24,051 | ||||||
4.000% due 08/01/28 ~ |
1,050,000 | 954,944 | ||||||
4.375% due 08/15/29 ~ |
2,850,000 | 2,554,597 | ||||||
4.750% due 06/15/29 ~ |
550,000 | 514,250 | ||||||
Husky III Holding Ltd. (Canada) 13.000% Cash or 13.750% PIK due 02/15/25 ~ |
5,374,000 | 4,554,465 | ||||||
LABL, Inc. |
||||||||
5.875% due 11/01/28 ~ |
6,050,000 | 5,387,164 | ||||||
6.750% due 07/15/26 ~ |
1,850,000 | 1,785,800 | ||||||
8.250% due 11/01/29 ~ |
1,825,000 | 1,559,645 | ||||||
9.500% due 11/01/28 ~ |
200,000 | 202,000 | ||||||
Madison IAQ LLC |
||||||||
4.125% due 06/30/28 ~ |
1,900,000 | 1,645,619 | ||||||
5.875% due 06/30/29 ~ |
4,075,000 | 3,151,972 | ||||||
Masco Corp. |
864,000 | 968,540 | ||||||
Mauser Packaging Solutions Holding Co. |
||||||||
7.875% due 08/15/26 ~ |
925,000 | 925,837 | ||||||
9.250% due 04/15/27 ~ |
5,700,000 | 5,272,500 | ||||||
OT Merger Corp. |
5,800,000 | 3,460,209 | ||||||
Owens-Brockway Glass Container, Inc. |
||||||||
5.375% due 01/15/25 ~ |
4,670,000 | 4,601,117 | ||||||
5.875% due 08/15/23 ~ |
2,259,000 | 2,257,713 | ||||||
Pentair Finance SARL |
4,750,000 | 4,921,910 | ||||||
Rand Parent LLC |
2,725,000 | 2,564,429 | ||||||
Sealed Air Corp./Sealed Air Corp. |
4,800,000 | 4,858,560 | ||||||
Sensata Technologies BV |
1,600,000 | 1,447,000 | ||||||
Sensata Technologies, Inc. |
4,800,000 | 4,379,226 | ||||||
Spirit AeroSystems, Inc. |
1,775,000 | 1,939,187 | ||||||
SPX FLOW, Inc. |
5,225,000 | 4,515,027 | ||||||
Standard Industries, Inc. |
||||||||
3.375% due 01/15/31 ~ |
650,000 | 523,133 | ||||||
4.750% due 01/15/28 ~ |
4,875,000 | 4,561,026 | ||||||
TK Elevator Holdco GmbH (Germany) |
5,831,000 | 5,044,625 | ||||||
TK Elevator US Newco, Inc. (Germany) |
3,150,000 | 2,978,026 | ||||||
TransDigm UK Holdings PLC |
2,650,000 | 2,612,834 | ||||||
TransDigm, Inc. |
||||||||
4.625% due 01/15/29 |
1,325,000 | 1,179,303 | ||||||
4.875% due 05/01/29 |
1,700,000 | 1,506,517 | ||||||
5.500% due 11/15/27 |
2,175,000 | 2,053,206 | ||||||
6.250% due 03/15/26 ~ |
4,075,000 | 4,082,844 | ||||||
6.750% due 08/15/28 ~ |
1,375,000 | 1,390,469 | ||||||
8.000% due 12/15/25 ~ |
3,925,000 | 4,001,047 | ||||||
Triumph Group, Inc. |
800,000 | 801,840 | ||||||
|
|
|||||||
132,498,331 | ||||||||
|
|
|||||||
Technology - 1.9% |
||||||||
Entegris Escrow Corp. |
3,575,000 | 3,383,068 | ||||||
Entegris, Inc. |
||||||||
3.625% due 05/01/29 ~ |
1,100,000 | 950,466 | ||||||
4.375% due 04/15/28 ~ |
5,225,000 | 4,726,312 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
33
PACIFIC SELECT FUND
HIGH YIELD BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Open Text Corp. (Canada) |
$ 950,000 | $ 800,750 | ||||||
Open Text Holdings, Inc. (Canada) |
3,400,000 | 2,808,349 | ||||||
Rackspace Technology Global, Inc. |
2,925,000 | 1,524,744 | ||||||
|
|
|||||||
14,193,689 | ||||||||
|
|
|||||||
Utilities - 2.8% |
||||||||
Atlantica Sustainable Infrastructure PLC (Spain) |
600,000 | 539,040 | ||||||
Calpine Corp. |
7,100,000 | 6,510,063 | ||||||
Clearway Energy Operating LLC |
5,500,000 | 4,748,700 | ||||||
Vistra Operations Co. LLC |
||||||||
4.375% due 05/01/29 ~ |
5,350,000 | 4,744,301 | ||||||
5.000% due 07/31/27 ~ |
4,800,000 | 4,545,144 | ||||||
|
|
|||||||
21,087,248 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
|
659,228,982 | ||||||
|
|
|||||||
SENIOR LOAN NOTES - 2.1% |
||||||||
Consumer, Cyclical - 2.1% |
||||||||
K-Mac Holdings Corp. (2nd Lien) |
1,750,000 | 1,624,583 | ||||||
PetSmart, Inc. Term B |
8,000,000 | 7,948,336 | ||||||
SRS Distribution, Inc. Term B |
4,000,000 | 3,865,000 | ||||||
Tacala LLC (2nd Lien) |
2,250,000 | 2,062,980 | ||||||
|
|
|||||||
15,500,899 | ||||||||
|
|
|||||||
Technology - 0.0% |
||||||||
Ultimate Software Group, Inc. |
244,411 | 238,475 | ||||||
|
|
|||||||
Total Senior Loan Notes |
|
15,739,374 | ||||||
|
|
|||||||
ASSET-BACKED SECURITIES - 5.1% |
||||||||
AIG CLO LLC |
500,000 | 462,275 | ||||||
AIMCO CLO (Cayman) |
500,000 | 457,464 | ||||||
AIMCO CLO 10 Ltd. (Cayman) |
2,200,000 | 2,018,674 | ||||||
Benefit Street Partners CLO V-B Ltd. (Cayman) |
1,250,000 | 1,069,020 | ||||||
Benefit Street Partners CLO XVI Ltd. (Cayman) |
4,000,000 | 3,582,372 |
Principal |
Value |
|||||||
Burnham Park Clo Ltd. (Cayman) |
$ 500,000 | $ 423,743 | ||||||
CarVal CLO III Ltd. (Cayman) |
3,975,000 | 3,443,600 | ||||||
CIFC Funding Ltd. (Cayman) |
||||||||
10.942% (USD LIBOR + 6.150%) due 01/15/32 § ~ |
1,000,000 | 909,977 | ||||||
12.192% (USD LIBOR + 7.400%) due 01/16/33 § ~ |
4,550,000 | 4,262,143 | ||||||
Dryden 55 CLO Ltd. (Cayman) |
||||||||
10.192% (USD LIBOR + 5.400%) due 04/15/31 § ~ |
1,000,000 | 835,739 | ||||||
11.992% (USD LIBOR + 7.200%) due 04/15/31 § ~ |
250,000 | 169,938 | ||||||
Goldentree Loan Opportunities X Ltd. 10.458% (USD LIBOR + 5.650%) |
750,000 | 673,775 | ||||||
Magnetite VIII Ltd. (Cayman) |
2,000,000 | 1,701,951 | ||||||
Magnetite XXIII Ltd. (Cayman) |
500,000 | 463,918 | ||||||
Magnetite Xxix Ltd. (Cayman) |
3,950,000 | 3,604,622 | ||||||
Neuberger Berman Loan Advisers CLO 24 Ltd. (Cayman) |
2,500,000 | 2,175,433 | ||||||
Neuberger Berman Loan Advisers CLO 30 Ltd. (Cayman) |
2,250,000 | 2,015,261 | ||||||
Neuberger Berman Loan Advisers CLO 31 Ltd. (Cayman) |
2,500,000 | 2,239,403 | ||||||
Neuberger Berman Loan Advisers CLO 35 Ltd. (Cayman) |
2,100,000 | 1,916,059 | ||||||
Parallel Ltd. (Cayman) |
2,000,000 | 1,749,624 | ||||||
Rad CLO 2 Ltd. (Cayman) |
||||||||
10.792% (USD LIBOR + 6.000%) due 10/15/31 § ~ |
3,600,000 | 3,163,066 | ||||||
12.242% (USD LIBOR + 7.450%) due 10/15/31 § ~ |
1,750,000 | 1,216,732 | ||||||
RR 19 Ltd. (Cayman) 11.292% (USD LIBOR + 6.500%) due 10/15/35 § ~ |
625,000 | 561,476 | ||||||
|
|
|||||||
Total Asset-Backed Securities |
|
39,116,265 | ||||||
|
|
|||||||
SHORT-TERM INVESTMENT - 5.1% |
||||||||
Repurchase Agreement - 5.1% |
||||||||
Fixed Income Clearing Corp. |
38,423,845 | 38,423,845 | ||||||
|
|
|||||||
Total Short-Term Investment |
38,423,845 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.3% |
752,600,610 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.7% |
|
5,100,955 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$757,701,565 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
34
PACIFIC SELECT FUND
HIGH YIELD BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$92,144 | $- | $92,144 | $- | |||||||||||||
Corporate Bonds & Notes |
659,228,982 | - | 659,228,982 | - | ||||||||||||||
Senior Loan Notes |
15,739,374 | - | 15,739,374 | - | ||||||||||||||
Asset-Backed Securities |
39,116,265 | - | 39,116,265 | - | ||||||||||||||
Short-Term Investment |
38,423,845 | - | 38,423,845 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$752,600,610 | $- | $752,600,610 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
35
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
CORPORATE BONDS & NOTES - 3.1% |
||||||||
Consumer, Cyclical - 0.1% |
||||||||
Toyota Tsusho Corp. (Japan) |
$500,000 | $496,533 | ||||||
|
|
|||||||
Financial - 3.0% |
||||||||
Avolon Holdings Funding Ltd. (Ireland) |
6,000 | 5,082 | ||||||
Bank of America Corp. |
410,000 | 369,410 | ||||||
Credit Suisse Group AG (Switzerland) |
||||||||
0.650% due 01/14/28 ~ |
EUR 100,000 | 90,244 | ||||||
3.288% (EUR LIBOR + 1.000%) due 01/16/26 § ~ |
100,000 | 101,126 | ||||||
7.750% due 03/01/29 ~ |
100,000 | 118,762 | ||||||
Jyske Realkredit AS (Denmark) |
||||||||
0.500% due 10/01/43 |
DKK 1,810,813 | 203,518 | ||||||
1.000% due 10/01/50 ~ |
23,107,994 | 2,493,511 | ||||||
1.000% due 10/01/53 |
5,520,698 | 550,153 | ||||||
1.500% due 10/01/53 |
3,338,068 | 365,056 | ||||||
2.500% due 10/01/47 |
693 | 90 | ||||||
Natwest Group PLC (United Kingdom) |
||||||||
4.519% due 06/25/24 |
$500,000 | 497,633 | ||||||
6.684% (USD LIBOR + 1.550%) due 06/25/24 § |
700,000 | 699,487 | ||||||
Nordea Kredit Realkreditaktieselskab (Denmark) |
|
|||||||
0.500% due 10/01/43 |
DKK 719,422 | 80,707 | ||||||
1.000% due 10/01/50 |
8,517,547 | 862,581 | ||||||
1.000% due 10/01/50 ~ |
7,676,970 | 829,143 | ||||||
1.500% due 10/01/53 |
5,199,579 | 549,829 | ||||||
2.000% due 10/01/53 |
999,840 | 111,680 | ||||||
2.000% due 10/01/53 ~ |
199,902 | 23,410 | ||||||
2.500% due 10/01/47 |
347 | 45 | ||||||
Nykredit Realkredit AS (Denmark) |
||||||||
0.500% due 10/01/43 ~ |
5,426,996 | 608,324 | ||||||
1.000% due 10/01/50 ~ |
51,965,813 | 5,596,133 | ||||||
1.000% due 10/01/53 ~ |
2,321,091 | 243,910 | ||||||
1.500% due 10/01/53 ~ |
8,834,833 | 986,546 | ||||||
2.500% due 10/01/47 ~ |
1,865 | 244 | ||||||
Realkredit Danmark AS (Denmark) |
||||||||
1.000% due 10/01/50 ~ |
15,620,747 | 1,682,743 | ||||||
1.000% due 10/01/53 ~ |
7,146,203 | 720,775 | ||||||
1.500% due 10/01/53 ~ |
497,488 | 52,835 | ||||||
2.000% due 10/01/53 ~ |
1,595,114 | 178,440 | ||||||
2.500% due 04/01/47 ~ |
8,576 | 1,123 | ||||||
UniCredit SpA (Italy) |
$1,750,000 | 1,766,236 | ||||||
|
|
|||||||
19,788,776 | ||||||||
|
|
|||||||
Technology - 0.0% |
||||||||
VMware, Inc. |
100,000 | 95,792 | ||||||
|
|
|||||||
Total Corporate Bonds & Notes |
20,381,101 | |||||||
|
|
|||||||
MORTGAGE-BACKED SECURITIES - 7.0% |
|
|||||||
Collateralized Mortgage Obligations - Commercial - 0.3% |
|
|||||||
BAMLL Commercial Mortgage Securities Trust |
500,000 | 467,253 |
Principal |
Value |
|||||||
GS Mortgage Securities Corp. II |
$ 1,600,000 | $ 1,593,151 | ||||||
|
|
|||||||
2,060,404 | ||||||||
|
|
|||||||
Collateralized Mortgage Obligations - Residential - 1.9% |
|
|||||||
Angel Oak Mortgage Trust |
256,449 | 231,615 | ||||||
Bear Stearns Adjustable Rate Mortgage Trust |
74,050 | 62,144 | ||||||
Chevy Chase Funding LLC Mortgage-Backed Certificates |
170,798 | 160,689 | ||||||
Citigroup Mortgage Loan Trust, Inc. |
||||||||
3.777% due 05/25/42 § ~ |
538,534 | 483,541 | ||||||
3.950% (UST + 2.400%) due 05/25/35 § |
6,075 | 5,560 | ||||||
Eurosail-UK PLC (United Kingdom) |
GBP 373,847 | 458,435 | ||||||
Fannie Mae REMICS |
||||||||
3.777% due 05/25/35 § |
$203,099 | 206,241 | ||||||
4.677% (USD LIBOR + 0.060%) due 07/25/37 § |
242,459 | 237,606 | ||||||
4.995% (USD LIBOR + 0.150%) due 08/25/34 § |
14,301 | 14,013 | ||||||
5.195% (USD LIBOR + 0.350%) due 07/25/37 § |
2,690 | 2,637 | ||||||
Freddie Mac |
595,376 | 580,505 | ||||||
Freddie Mac REMICS |
||||||||
3.806% (USD LIBOR + 0.350%) due 07/15/44 § |
307,106 | 300,416 | ||||||
5.034% (USD LIBOR + 0.350%) due 01/15/47 § |
964,538 | 931,904 | ||||||
Government National Mortgage Association REMICS |
|
|||||||
1.968% (USD LIBOR + 0.750%) due 04/20/67 § |
561,243 | 560,924 | ||||||
3.858% (USD LIBOR + 0.150%) due 08/20/68 § |
619,295 | 603,082 | ||||||
5.459% (SOFR + 0.900%) due 10/20/72 § |
2,418,543 | 2,408,058 | ||||||
Great Hall Mortgages No 1 PLC (United Kingdom) |
|
|||||||
4.420% (SONIA + 0.249%) due 03/18/39 § ~ |
GBP 7,584 | 9,248 | ||||||
4.440% (SONIA + 0.269%) due 06/18/38 § ~ |
7,037 | 8,604 | ||||||
GSMPS Mortgage Loan Trust |
$123,043 | 125,971 | ||||||
GSR Mortgage Loan Trust |
65,385 | 58,562 | ||||||
HarborView Mortgage Loan Trust |
1,675,336 | 1,471,903 | ||||||
Impac CMB Trust |
18,114 | 17,944 | ||||||
JP Morgan Mortgage Trust |
34,155 | 32,321 | ||||||
Mellon Residential Funding Corp. Mortgage Pass-Through Certificate Trust |
| |||||||
5.124% (USD LIBOR + 0.440%) due 12/15/30 § |
58,080 | 53,831 | ||||||
5.384% (USD LIBOR + 0.700%) due 11/15/31 § |
82,695 | 77,664 | ||||||
New Residential Mortgage Loan Trust |
346,394 | 327,031 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
36
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Residential Mortgage Securities 32 PLC (United Kingdom) |
GBP 435,330 | $ 536,256 | ||||||
Sequoia Mortgage Trust |
$47,069 | 44,536 | ||||||
Structured Adjustable Rate Mortgage Loan Trust |
19,015 | 17,483 | ||||||
Structured Asset Mortgage Investments II Trust |
||||||||
5.261% (USD LIBOR + 0.500%) due 07/19/35 § |
175,749 | 154,770 | ||||||
5.421% (USD LIBOR + 0.660%) due 10/19/34 § |
79,490 | 73,401 | ||||||
Thornburg Mortgage Securities Trust |
1,072,744 | 952,303 | ||||||
Towd Point Mortgage Funding PLC (United Kingdom) |
GBP 719,373 | 888,479 | ||||||
WaMu Mortgage Pass-Through Certificates Trust |
$17,597 | 15,233 | ||||||
|
|
|||||||
12,112,910 | ||||||||
|
|
|||||||
Fannie Mae - 4.8% |
||||||||
due 05/12/52 # |
7,500,000 | 7,350,812 | ||||||
due 06/25/52 # |
15,668,000 | 14,993,601 | ||||||
due 04/13/53 # |
8,400,000 | 8,661,844 | ||||||
3.175% (USD LIBOR + 0.675%) due 02/01/36 § |
29,490 | 28,794 | ||||||
3.326% (USD LIBOR + 2.000%) due 04/01/35 § |
82,883 | 80,972 | ||||||
3.522% (USD LIBOR + 1.272%) due 11/01/35 § |
20,097 | 19,713 | ||||||
3.622% (USD LIBOR + 1.372%) due 12/01/34 § |
17,232 | 16,966 | ||||||
3.663% (USD LIBOR + 1.538%) due 01/01/36 § |
6,106 | 5,966 | ||||||
3.850% (USD LIBOR + 1.725%) due 05/01/35 § |
754 | 738 | ||||||
3.993% (US FED + 1.200%) due 11/01/42 - 10/01/44 § |
70,177 | 67,016 | ||||||
4.030% (USD LIBOR + 1.780%) due 11/01/35 § |
7,798 | 7,624 | ||||||
4.192% (USD LIBOR + 1.942%) due 09/01/35 § |
165 | 162 | ||||||
4.394% (USD LIBOR + 1.644%) due 03/01/35 § |
75,728 | 74,259 | ||||||
5.000% (US FED + 1.250%) due 08/01/24 § |
1,108 | 1,099 | ||||||
|
|
|||||||
31,309,566 | ||||||||
|
|
|||||||
Freddie Mac - 0.0% |
||||||||
3.981% (USD LIBOR + 1.731%) due 08/01/35 § |
1,211 | 1,194 | ||||||
4.350% (UST + 2.225%) due 01/01/34 § |
34,773 | 34,866 | ||||||
4.815% (USD LIBOR + 1.815%) due 03/01/36 § |
1,307 | 1,277 | ||||||
|
|
|||||||
37,337 | ||||||||
|
|
|||||||
Government National Mortgage Association - 0.0% |
|
|||||||
2.625% (UST + 1.500%) due 09/20/23 - 01/20/27 § |
6,570 | 6,436 | ||||||
2.750% (UST + 1.500%) due 11/20/26 § |
2,169 | 2,106 |
Principal |
Value |
|||||||
2.875% (UST + 1.500%) due 05/20/23 § |
$ 6 | $ 6 | ||||||
3.000% (UST + 1.500%) due 10/20/24 - 12/20/26 § |
5,018 | 4,903 | ||||||
|
|
|||||||
13,451 | ||||||||
|
|
|||||||
Total Mortgage-Backed Securities |
45,533,668 | |||||||
|
|
|||||||
ASSET-BACKED SECURITIES - 9.4% |
|
|||||||
522 Funding CLO Ltd. (Cayman) |
1,100,000 | 1,081,850 | ||||||
ABFC Trust |
||||||||
5.445% (USD LIBOR + 0.600%) due 10/25/34 § |
37,941 | 37,907 | ||||||
5.545% (USD LIBOR + 0.700%) due 06/25/34 § |
924,214 | 869,311 | ||||||
ACAS CLO Ltd. (Cayman) |
345,089 | 341,165 | ||||||
ACE Securities Corp. Home Equity Loan Trust |
627,071 | 586,714 | ||||||
AMMC CLO 16 Ltd. (Cayman) |
378,676 | 378,429 | ||||||
Apidos CLO XXVI (Cayman) |
300,000 | 297,422 | ||||||
Apidos CLO XXVII (Cayman) |
300,000 | 296,454 | ||||||
Ares European CLO VI DAC (Ireland) |
EUR 492,009 | 523,564 | ||||||
Ares European CLO X DAC (Ireland) |
900,000 | 953,457 | ||||||
ARES L CLO Ltd. (Cayman) |
$810,000 | 798,139 | ||||||
ARES LII CLO Ltd. (Cayman) |
300,000 | 295,514 | ||||||
Atlas Senior Loan Fund Ltd. (Cayman) |
529,494 | 526,429 | ||||||
Barings CLO Ltd. (Cayman) |
1,500,000 | 1,480,903 | ||||||
BDS LLC |
1,000,000 | 987,072 | ||||||
Benefit Street Partners CLO XVII Ltd. (Cayman) |
1,800,000 | 1,771,565 | ||||||
Black Diamond CLO Ltd. (Ireland) |
EUR 547,328 | 583,832 | ||||||
Carlyle Euro CLO DAC (Ireland) |
484,887 | 514,630 | ||||||
Carlyle Global Market Strategies CLO Ltd. |
||||||||
5.819% (USD LIBOR + 0.950%) due 08/14/30 § ~ |
$384,105 | 379,976 | ||||||
5.895% (USD LIBOR + 1.080%) due 04/22/32 § ~ |
500,000 | 491,500 | ||||||
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
37
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Carlyle Global Market Strategies Euro CLO Ltd. (Ireland) |
EUR 1,700,000 | $ 1,797,815 | ||||||
Catamaran CLO Ltd. (Cayman) |
$379,632 | 375,500 | ||||||
CBAM Ltd. (Cayman) |
588,323 | 576,246 | ||||||
CIFC Funding Ltd. (Cayman) |
||||||||
5.766% (USD LIBOR + 0.950%) due 10/24/30 § ~ |
387,508 | 382,907 | ||||||
5.795% (USD LIBOR + 1.000%) due 04/18/31 § ~ |
500,000 | 492,307 | ||||||
Citigroup Mortgage Loan Trust, Inc. |
267,955 | 253,693 | ||||||
Credit-Based Asset Servicing & Securitization LLC |
1,083,000 | 1,028,653 | ||||||
Crestline Denali CLO XIV Ltd. (Cayman) |
299,533 | 294,209 | ||||||
Crestline Denali CLO XV Ltd. (Cayman) |
343,220 | 338,783 | ||||||
Dryden 52 Euro CLO DAC (Ireland) |
EUR 400,000 | 424,039 | ||||||
Dryden 60 CLO Ltd. (Cayman) |
$1,500,000 | 1,478,250 | ||||||
Dryden 64 CLO Ltd. (Cayman) |
600,000 | 592,364 | ||||||
Dryden XXVI Senior Loan Fund (Cayman) |
1,463,919 | 1,448,548 | ||||||
Freddie Mac Structured Pass-Through Certificates |
43,645 | 43,527 | ||||||
Gallatin CLO VIII Ltd. (Cayman) |
300,000 | 294,600 | ||||||
Goldentree Loan Management US Clo 2 Ltd. (Cayman) |
300,000 | 296,250 | ||||||
Goldentree Loan Opportunities XI Ltd. (Cayman) |
600,000 | 595,855 | ||||||
HalseyPoint CLO 3 Ltd. (Cayman) |
950,000 | 938,151 | ||||||
Harvest CLO XXII DAC (Ireland) |
EUR 1,200,000 | 1,264,730 | ||||||
Home Equity Asset Trust |
||||||||
5.700% (USD LIBOR + 0.855%) due 08/25/34 § |
$116,780 | 113,588 | ||||||
6.045% (USD LIBOR + 1.200%) due 07/25/35 § |
1,000,000 | 952,210 | ||||||
KKR CLO 9 Ltd. (Cayman) |
260,764 | 257,850 | ||||||
LCM CLO XIII LP (Cayman) |
759,912 | 754,986 | ||||||
Principal |
Value |
|||||||
LCM XV LP (Cayman) |
$ 1,195,845 | $ 1,180,949 | ||||||
LCM XVIII LP (Cayman) |
1,000,000 | 986,934 | ||||||
LoanCore Issuer Ltd. (Cayman) |
600,000 | 588,132 | ||||||
Madison Park Euro Funding IX DAC (Ireland) |
EUR 1,000,000 | 1,045,298 | ||||||
Madison Park Funding XLI Ltd. (Cayman) |
$1,709,046 | 1,700,884 | ||||||
Madison Park Funding XXX Ltd. (Cayman) |
4,292,155 | 4,234,210 | ||||||
Magnetite CLO XVIII Ltd. (Cayman) |
273,744 | 271,143 | ||||||
Man GLG Euro CLO II DAC (Ireland) |
EUR 123,795 | 132,179 | ||||||
Merrill Lynch Mortgage Investors Trust |
$622,129 | 578,937 | ||||||
MF1 LLC |
600,000 | 594,914 | ||||||
MidOcean Credit CLO II (Cayman) |
278,965 | 276,175 | ||||||
Midocean Credit CLO VIII (Cayman) |
300,000 | 294,788 | ||||||
Morgan Stanley ABS Capital I, Inc. Trust |
||||||||
5.505% (USD LIBOR + 0.660%) due 01/25/35 § |
516,035 | 496,908 | ||||||
5.820% (USD LIBOR + 0.975%) due 07/25/34 § |
73,160 | 69,792 | ||||||
OAK Hill European Credit Partners VII DAC (Ireland) |
EUR 600,000 | 636,205 | ||||||
Oaktree CLO Ltd. (Cayman) |
$300,000 | 293,740 | ||||||
Octagon Investment Partners Ltd. (Cayman) |
600,000 | 594,167 | ||||||
OSD CLO Ltd. (Cayman) |
1,477,319 | 1,457,851 | ||||||
OZLM CLO XXIV Ltd. (Cayman) |
200,000 | 196,900 | ||||||
OZLM VIII Ltd. (Cayman) |
243,361 | 240,927 | ||||||
Palmer Square Loan Funding Ltd. (Cayman) |
||||||||
5.592% (USD LIBOR + 0.800%) due 10/15/29 § ~ |
646,101 | 638,065 | ||||||
5.608% (USD LIBOR + 0.800%) due 07/20/29 § ~ |
572,217 | 565,208 | ||||||
Rad CLO 5 Ltd. (Cayman) |
500,000 | 491,350 | ||||||
Regatta VIII Funding Ltd. (Cayman) |
658,034 | 651,675 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
38
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Renaissance Home Equity Loan Trust |
$ 164,168 | $ 149,628 | ||||||
Romark CLO Ltd. (Cayman) |
500,000 | 495,000 | ||||||
Saranac CLO VI Ltd. (Jersey) |
300,000 | 296,897 | ||||||
Saxon Asset Securities Trust |
137,224 | 128,994 | ||||||
Segovia European CLO 6- DAC (Ireland) |
EUR 400,000 | 423,714 | ||||||
SLM Student Loan Trust |
$623,793 | 609,582 | ||||||
Sound Point CLO IX Ltd. (Cayman) |
600,000 | 588,795 | ||||||
Sound Point CLO XIV Ltd. (Cayman) |
270,381 | 269,957 | ||||||
Sound Point CLO XV Ltd. (Cayman) |
169,023 | 167,768 | ||||||
Stratus CLO Ltd. (Cayman) |
344,065 | 340,505 | ||||||
Structured Asset Securities Corp. Mortgage Loan Trust |
195,131 | 188,992 | ||||||
TCI-Symphony CLO Ltd. (Cayman) |
1,941,335 | 1,914,157 | ||||||
TCW CLO Ltd. (Cayman) |
500,000 | 493,450 | ||||||
THL Credit Wind River CLO Ltd. (Cayman) |
300,000 | 294,000 | ||||||
TRTX Issuer Ltd. (Cayman) |
500,000 | 492,541 | ||||||
TSTAT Ltd. (Bermuda) |
581,560 | 582,554 | ||||||
United States Small Business Administration |
318,474 | 318,128 | ||||||
Venture XIV CLO Ltd. (Cayman) |
672,187 | 663,566 | ||||||
Venture XVII CLO Ltd. (Cayman) |
1,519,337 | 1,512,972 | ||||||
Venture XXIV CLO Ltd. (Cayman) |
297,471 | 293,687 | ||||||
Venture XXVIII CLO Ltd. (Cayman) |
298,016 | 294,290 | ||||||
Vibrant CLO XI Ltd. (Cayman) |
300,000 | 292,224 | ||||||
Voya CLO Ltd. (Cayman) |
||||||||
5.742% (USD LIBOR + 0.950%) due 04/17/30 § ~ |
1,656,529 | 1,637,485 | ||||||
5.892% (USD LIBOR + 1.100%) due 07/14/31 § ~ |
495,483 | 490,626 | ||||||
Wellfleet CLO Ltd. (Cayman) |
Principal |
Value |
|||||||
5.718% (USD LIBOR + 0.910%) due 04/20/28 § ~ |
$ 374,331 | $ 372,801 | ||||||
5.892% (USD LIBOR + 1.100%) due 07/17/31 § ~ |
2,000,000 | 1,977,567 | ||||||
|
|
|||||||
Total Asset-Backed Securities |
61,698,105 | |||||||
|
|
|||||||
U.S. TREASURY OBLIGATIONS - 73.4% |
||||||||
U.S. Government Agency Issues - 5.1% |
||||||||
0.625% due 07/15/32 ^ |
34,822,450 | 33,291,212 | ||||||
|
|
|||||||
U.S. Treasury Inflation Protected Securities - 65.1% |
|
|||||||
0.125% due 07/15/24 ^ |
15,127,800 | 14,834,988 | ||||||
0.125% due 10/15/24 ^ |
13,522,816 | 13,209,467 | ||||||
0.125% due 04/15/25 ^ |
3,902,224 | 3,781,270 | ||||||
0.125% due 10/15/25 ^ |
19,035,225 | 18,446,163 | ||||||
0.125% due 04/15/26 ^ |
16,778,874 | 16,106,496 | ||||||
0.125% due 07/15/26 ^ |
14,124,870 | 13,609,369 | ||||||
0.125% due 10/15/26 ^ |
17,088,864 | 16,414,583 | ||||||
0.125% due 04/15/27 ^ |
5,508,412 | 5,248,573 | ||||||
0.125% due 01/15/30 ^ |
13,880,250 | 12,942,946 | ||||||
0.125% due 07/15/30 ^ |
22,766,250 | 21,197,819 | ||||||
0.125% due 07/15/31 ^ |
1,595,780 | 1,470,772 | ||||||
0.125% due 01/15/32 ^ |
7,768,584 | 7,101,450 | ||||||
0.125% due 02/15/51 ^ |
4,606,728 | 3,196,052 | ||||||
0.125% due 02/15/52 ^ |
8,165,668 | 5,679,788 | ||||||
0.250% due 01/15/25 ^ |
2,651,838 | 2,587,968 | ||||||
0.250% due 07/15/29 ^ |
21,768,618 | 20,638,694 | ||||||
0.250% due 02/15/50 ^ |
3,187,606 | 2,316,075 | ||||||
0.375% due 07/15/23 ^ |
10,538,804 | 10,569,981 | ||||||
0.375% due 07/15/25 ^ |
9,783,361 | 9,571,260 | ||||||
0.375% due 01/15/27 ^ |
13,421,871 | 12,939,638 | ||||||
0.375% due 07/15/27 ^ |
61,135 | 59,077 | ||||||
0.500% due 04/15/24 ^ |
2,016,030 | 1,983,708 | ||||||
0.500% due 01/15/28 ^ |
24,605,534 | 23,757,686 | ||||||
0.625% due 01/15/24 ^ |
6,506,620 | 6,451,798 | ||||||
0.625% due 01/15/26 ^ |
3,727,159 | 3,644,735 | ||||||
0.625% due 02/15/43 ^ |
12,527,763 | 10,590,076 | ||||||
0.750% due 07/15/28 ^ |
4,587,391 | 4,500,250 | ||||||
0.750% due 02/15/42 ^ |
16,492,889 | 14,423,033 | ||||||
0.750% due 02/15/45 ^ |
16,854,758 | 14,375,202 | ||||||
0.875% due 01/15/29 ^ |
18,374,940 | 18,062,742 | ||||||
0.875% due 02/15/47 ^ |
5,827,158 | 5,052,119 | ||||||
1.000% due 02/15/46 ^ |
9,126,357 | 8,173,169 | ||||||
1.000% due 02/15/48 ^ |
7,641,207 | 6,815,467 | ||||||
1.000% due 02/15/49 ^ |
5,943,000 | 5,293,886 | ||||||
1.375% due 02/15/44 ^ |
14,257,907 | 13,828,360 | ||||||
1.625% due 10/15/27 ^ |
9,995,733 | 10,194,631 | ||||||
1.750% due 01/15/28 ^ |
2,568,396 | 2,628,896 | ||||||
2.000% due 01/15/26 ^ |
7,465,381 | 7,575,133 | ||||||
2.125% due 02/15/40 ^ |
4,525,026 | 5,001,305 | ||||||
2.125% due 02/15/41 ^ |
4,110,998 | 4,543,377 | ||||||
2.375% due 01/15/25 ^ |
13,169,859 | 13,331,148 | ||||||
2.375% due 01/15/27 ^ |
133,481 | 138,411 | ||||||
2.500% due 01/15/29 ^ |
6,962,614 | 7,458,175 | ||||||
3.625% due 04/15/28 ^ |
13,236,421 | 14,783,578 | ||||||
3.875% due 04/15/29 ^ |
9,757,335 | 11,245,998 | ||||||
|
|
|||||||
425,775,312 | ||||||||
|
|
|||||||
U.S. Treasury Notes - 3.2% |
||||||||
0.125% due 01/15/31 ^ |
22,308,060 | 20,633,183 | ||||||
|
|
|||||||
Total U.S. Treasury Obligations |
479,699,707 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
39
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
FOREIGN GOVERNMENT BONDS & NOTES - 6.6% |
| |||||||
Canadian Government (Canada) |
CAD 2,628,060 | $2,166,307 | ||||||
French Republic Government OAT (France) |
||||||||
0.100% due 03/01/26 ^ ~ |
EUR 3,994,025 | 4,360,905 | ||||||
0.100% due 07/25/31 ^ ~ |
1,142,920 | 1,232,338 | ||||||
0.100% due 07/25/38 ^ ~ |
2,356,578 | 2,395,297 | ||||||
0.250% due 07/25/24 ^ ~ |
1,946,144 | 2,141,847 | ||||||
Italy Buoni Poliennali Del Tesoro (Italy) |
||||||||
0.400% due 05/15/30 ^ ~ |
2,433,564 | 2,430,851 | ||||||
1.400% due 05/26/25 ^ ~ |
12,512,640 | 13,482,702 | ||||||
Japanese Government CPI Linked (Japan) |
||||||||
0.005% due 03/10/31 ^ |
JPY 83,250,990 | 652,088 | ||||||
0.100% due 03/10/28 ^ |
511,009,170 | 3,985,313 | ||||||
0.100% due 03/10/29 ^ |
940,472,619 | 7,401,950 | ||||||
New Zealand Government Inflation Linked (New Zealand) |
NZD 3,967,360 | 2,538,173 | ||||||
Qatar Government (Qatar) |
$300,000 | 299,833 | ||||||
|
|
|||||||
Total Foreign Government Bonds & Notes |
43,087,604 | |||||||
|
|
|||||||
SHORT-TERM INVESTMENTS - 11.9% |
||||||||
Repurchase Agreements - 11.9% |
||||||||
BNP Paribas SA |
21,800,000 | 21,800,000 | ||||||
4.820% due 04/04/23 (Dated 04/03/23, repurchase price of $4,100,549; collateralized by U.S. Treasury Notes: 0.130% due 10/15/26 and value $4,164,360) |
4,100,000 | 4,100,000 | ||||||
Fixed Income Clearing Corp. |
4,681,028 | 4,681,028 | ||||||
J.P. Morgan Securities LLC |
47,000,000 | 47,000,000 | ||||||
|
|
|||||||
77,581,028 | ||||||||
|
|
Principal |
Value |
|||||||
U.S. Treasury Bills - 0.0% |
||||||||
2.366% due 04/06/23 |
$326,000 | $325,875 | ||||||
|
|
|||||||
Total Short-Term Investments |
|
77,906,903 | ||||||
|
|
|||||||
TOTAL INVESTMENTS - 111.4% |
|
728,307,088 | ||||||
|
|
|||||||
DERIVATIVES - (0.6%) |
(4,154,714 | ) | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (10.8%) |
|
(70,275,797 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$653,876,577 | |||||||
|
|
Notes to Schedule of Investments
(a) | The average amount of borrowings by the Fund on reverse repurchase agreements during the period ended March 31, 2023 was $2,907,945 at a weighted average interest rate of 4.561%. The average amount of borrowings by the Fund on sale-buyback financing transactions during the period ended March 31, 2023 was $20,494,136 at a weighted average interest rate of 4.485%. |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
40
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||||
Euro-Bund |
06/23 | 61 | $8,850,552 | $ 8,986,426 | $135,874 | |||||||||||||||
U.S. Treasury 2-Year Notes |
06/23 | 400 | 81,974,328 | 82,581,251 | 606,923 | |||||||||||||||
U.S. Treasury 5-Year Notes |
06/23 | 33 | 3,543,161 | 3,613,758 | 70,597 | |||||||||||||||
U.S. Treasury Ultra 10-Year Notes |
06/23 | 18 | 2,208,169 | 2,180,531 | (27,638 | ) | ||||||||||||||
U.S. Treasury Ultra Long Bonds |
06/23 | 74 | 10,235,996 | 10,443,250 | 207,254 | |||||||||||||||
|
|
|||||||||||||||||||
993,010 | ||||||||||||||||||||
|
|
|||||||||||||||||||
Short Futures Outstanding |
||||||||||||||||||||
3-Month USD SOFR |
06/23 | 100 | 23,788,750 | 23,781,875 | 6,875 | |||||||||||||||
3-Month USD SOFR |
12/23 | 271 | 64,596,238 | 64,630,113 | (33,875 | ) | ||||||||||||||
Australia Treasury 3-Year Bond |
06/23 | 16 | 1,147,537 | 1,163,805 | (16,268 | ) | ||||||||||||||
Euro-Bobl |
06/23 | 109 | 13,771,815 | 13,934,652 | (162,837 | ) | ||||||||||||||
Euro-BTP |
06/23 | 141 | 17,011,829 | 17,638,686 | (626,857 | ) | ||||||||||||||
Euro-Buxl |
06/23 | 51 | 7,300,853 | 7,790,895 | (490,042 | ) | ||||||||||||||
Euro-OAT |
06/23 | 42 | 5,742,362 | 5,931,846 | (189,484 | ) | ||||||||||||||
Euro-Schatz |
06/23 | 1,309 | 148,924,229 | 150,045,717 | (1,121,488 | ) | ||||||||||||||
Japan 10-Year Bonds |
06/23 | 59 | 64,777,364 | 65,818,716 | (1,041,352 | ) | ||||||||||||||
Short Euro-BTP |
06/23 | 65 | 7,346,432 | 7,427,794 | (81,362 | ) | ||||||||||||||
U.S. Treasury 10-Year Notes |
06/23 | 86 | 9,826,317 | 9,883,281 | (56,964 | ) | ||||||||||||||
U.S. Treasury 30-Year Bonds |
06/23 | 263 | 32,988,397 | 34,494,094 | (1,505,697 | ) | ||||||||||||||
|
|
|||||||||||||||||||
(5,319,351 | ) | |||||||||||||||||||
|
|
|||||||||||||||||||
Total Futures Contracts |
($4,326,341 | ) | ||||||||||||||||||
|
|
(c) | Forward foreign currency contracts outstanding as of March 31, 2023 were as follows: |
Currency Purchased |
Currency Sold |
Settlement Month |
Counterparty | Unrealized Appreciation |
Unrealized Depreciation |
|||||||||||||||||||||||||||
CAD | 949,313 | USD | 700,548 | 04/23 | TDB | $1,875 | $- | |||||||||||||||||||||||||
CAD | 1,821,018 | USD | 1,339,378 | 04/23 | UBS | 8,045 | - | |||||||||||||||||||||||||
DKK | 49,716,358 | USD | 7,222,016 | 04/23 | BNP | 15,402 | - | |||||||||||||||||||||||||
DKK | 34,521,407 | USD | 5,031,175 | 04/23 | CIT | - | (5,749 | ) | ||||||||||||||||||||||||
EUR | 2,681,000 | USD | 2,861,956 | 04/23 | CIT | 45,588 | - | |||||||||||||||||||||||||
EUR | 33,265,000 | USD | 35,999,383 | 04/23 | DUB | 76,506 | - | |||||||||||||||||||||||||
EUR | 455,000 | USD | 494,008 | 04/23 | HSB | - | (561 | ) | ||||||||||||||||||||||||
EUR | 1,812,000 | USD | 1,928,684 | 04/23 | HSB | 36,429 | - | |||||||||||||||||||||||||
EUR | 497,000 | USD | 541,209 | 05/23 | BNP | - | (1,367 | ) | ||||||||||||||||||||||||
JPY | 147,500,000 | USD | 1,113,804 | 04/23 | BNP | - | (2,902 | ) | ||||||||||||||||||||||||
JPY | 1,733,869,875 | USD | 13,227,570 | 04/23 | DUB | - | (168,863 | ) | ||||||||||||||||||||||||
NZD | 1,451,071 | USD | 902,276 | 04/23 | BOA | 5,079 | - | |||||||||||||||||||||||||
NZD | 2,078,916 | USD | 1,286,641 | 04/23 | TDB | 13,305 | - | |||||||||||||||||||||||||
USD | 2,041,102 | CAD | 2,768,930 | 04/23 | TDB | - | (7,707 | ) | ||||||||||||||||||||||||
USD | 700,548 | CAD | 948,922 | 05/23 | TDB | - | (1,875 | ) | ||||||||||||||||||||||||
USD | 1,339,378 | CAD | 1,820,288 | 05/23 | UBS | - | (8,058 | ) | ||||||||||||||||||||||||
USD | 5,717 | DKK | 40,000 | 04/23 | BNP | - | (106 | ) | ||||||||||||||||||||||||
USD | 7,574,082 | DKK | 53,114,878 | 04/23 | BOA | - | (158,073 | ) | ||||||||||||||||||||||||
USD | 8,243,018 | DKK | 57,994,002 | 04/23 | CIT | - | (199,411 | ) | ||||||||||||||||||||||||
USD | 7,222,016 | DKK | 49,623,916 | 05/23 | BNP | - | (15,173 | ) | ||||||||||||||||||||||||
USD | 3,923,361 | DKK | 26,824,683 | 05/23 | BRC | 11,229 | - | |||||||||||||||||||||||||
USD | 5,031,175 | DKK | 34,456,757 | 05/23 | CIT | 5,976 | - | |||||||||||||||||||||||||
USD | 1,380,252 | EUR | 1,293,000 | 04/23 | BNP | - | (22,006 | ) | ||||||||||||||||||||||||
USD | 5,846,422 | EUR | 5,467,000 | 04/23 | HSB | - | (82,539 | ) | ||||||||||||||||||||||||
USD | 32,441,947 | EUR | 30,556,000 | 04/23 | UBS | - | (696,032 | ) | ||||||||||||||||||||||||
USD | 36,057,131 | EUR | 33,265,000 | 05/23 | DUB | - | (75,347 | ) | ||||||||||||||||||||||||
USD | 1,967,160 | GBP | 1,629,000 | 04/23 | HSB | - | (42,373 | ) | ||||||||||||||||||||||||
USD | 2,016,547 | GBP | 1,629,000 | 05/23 | UBS | 5,842 | - | |||||||||||||||||||||||||
USD | 550,363 | JPY | 73,000,000 | 04/23 | BNP | 561 | - | |||||||||||||||||||||||||
USD | 2,206,956 | JPY | 297,700,628 | 04/23 | HSB | - | (35,187 | ) | ||||||||||||||||||||||||
USD | 209,527 | JPY | 28,508,279 | 04/23 | MSC | - | (5,184 | ) | ||||||||||||||||||||||||
USD | 10,903,841 | JPY | 1,480,176,788 | 04/23 | TDB | - | (244,167 | ) | ||||||||||||||||||||||||
USD | 13,227,570 | JPY | 1,726,892,332 | 05/23 | DUB | 168,827 | - | |||||||||||||||||||||||||
USD | 2,434,992 | NZD | 3,919,882 | 04/23 | BOA | - | (16,111 | ) | ||||||||||||||||||||||||
USD | 902,273 | NZD | 1,451,071 | 05/23 | BOA | - | (5,120 | ) | ||||||||||||||||||||||||
USD | 1,286,652 | NZD | 2,078,916 | 05/23 | TDB | - | (13,349 | ) | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
Total Forward Foreign Currency Contracts |
|
$394,664 | ($1,807,260 | ) | ||||||||||||||||||||||||||||
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
41
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(d) | Purchased options outstanding as of March 31, 2023 were as follows: |
Interest Rate Swaptions
Description | Pay/Receive Floating Rate |
Floating Rate Index |
Exercise Rate |
Expiration Date |
Counter- party |
Notional Amount |
Cost | Value | ||||||||||||||||||||||||
Call - 5-Year Interest Rate Swap |
Pay | SOFR | 2.200% | 04/26/23 | GSC | $7,500,000 | $80,062 | $1,256 | ||||||||||||||||||||||||
Call - 5-Year Interest Rate Swap |
Pay | SOFR | 2.200% | 05/31/23 | MSC | 21,400,000 | 256,800 | 20,763 | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
336,862 | 22,019 | |||||||||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
Put - 30-Year Interest Rate Swap |
Receive | 3-Month USD-LIBOR | 2.237% | 11/17/23 | DUB | 4,100,000 | 254,483 | 742,827 | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
Total Purchased Options |
$591,345 | $764,846 | ||||||||||||||||||||||||||||||
|
|
|
|
(e) | Premiums received and value of written options outstanding as of March 31, 2023 were as follows: |
Inflation Floor/Cap Options
Description | Initial Index |
Floating Rate | Expiration Date |
Counter- party |
Notional Amount |
Premium | Value | |||||||||||||||||||||
Cap - U.S. CPI Urban Consumers |
233.92 | |
Maximum of [0, Final Index/Initial Index - (1.000+ 4.000%)^10] |
|
04/22/24 | JPM | $13,400,000 | $97,485 | ($2 | ) | ||||||||||||||||||
Cap - Eurostat Eurozone HICP |
117.20 | |
Maximum of [0, (Final Index/Initial Index) - (1+3.000%)^20)] |
|
06/22/35 | GSC | EUR 2,200,000 | 100,087 | (47,744 | ) | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||
$197,572 | ($47,746 | ) | ||||||||||||||||||||||||||
|
|
|
|
Interest Rate Swaptions
Description | Pay/Receive Floating Rate |
Floating Rate Index |
Exercise Rate |
Expiration Date |
Counter- party |
Notional Amount |
Premium | Value | ||||||||||||||||||||||||
Call - 10-Year Interest Rate Swap |
Receive | 6-Month EUR-LIBOR | 2.920% | 04/11/23 | CIT | EUR 7,700,000 | $155,023 | ($37,185 | ) | |||||||||||||||||||||||
Call - 10-Year Interest Rate Swap |
Receive | SOFR | 2.350% | 04/26/23 | GSC | $4,200,000 | 82,935 | (927 | ) | |||||||||||||||||||||||
Call - 10-Year Interest Rate Swap |
Receive | SOFR | 2.350% | 05/31/23 | MSC | 11,700,000 | 254,915 | (17,367 | ) | |||||||||||||||||||||||
Call - 10-Year Interest Rate Swap |
Receive | 6-Month EUR-LIBOR | 2.067% | 06/09/23 | GSC | EUR 1,600,000 | 18,675 | (2,496 | ) | |||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
511,548 | (57,975 | ) | ||||||||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
Put - 10-Year Interest Rate Swap |
Pay | 6-Month EUR-LIBOR | 2.920% | 04/11/23 | CIT | 7,700,000 | 155,023 | (72,255 | ) | |||||||||||||||||||||||
Put - 10-Year Interest Rate Swap |
Pay | 6-Month EUR-LIBOR | 3.140% | 06/09/23 | GSC | 1,600,000 | 22,148 | (18,907 | ) | |||||||||||||||||||||||
Put - 5-Year Interest Rate Swap |
Pay | 3-Month USD-LIBOR | 2.340% | 11/17/23 | DUB | $20,200,000 | 254,520 | (1,019,528 | ) | |||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
431,691 | (1,110,690 | ) | ||||||||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
Total Interest Rate Swaptions |
$943,239 | $1,168,665 | ||||||||||||||||||||||||||||||
|
|
|
|
Options on Futures
Description | Exercise Price |
Expiration Date |
Exchange | Number of Contracts |
Notional Amount |
Premium | Value | |||||||||||||||||||
Call - U.S. Treasury 10-Year Notes |
$118.00 | 04/23/23 | CME | 9 | $1,062,000 | $5,773 | ($1,688 | ) | ||||||||||||||||||
Call - U.S. Treasury 10-Year Notes |
119.00 | 04/21/23 | CME | 16 | 1,904,000 | 14,628 | (2,000 | ) | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
20,401 | (3,688 | ) | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
Put - U.S. Treasury 10-Year Notes |
112.00 | 04/22/23 | CME | 16 | 1,792,000 | 8,568 | (1,750 | ) | ||||||||||||||||||
Put - U.S. Treasury 10-Year Notes |
112.50 | 04/21/23 | CME | 9 | 1,012,500 | 3,662 | (1,406 | ) | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
12,230 | (3,156 | ) | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
Total Options on Futures |
$32,631 | ($6,844 | ) | |||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
Total Written Options |
$1,173,442 | ($1,223,255 | ) | |||||||||||||||||||||||
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
42
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(f) | Swap agreements outstanding as of March 31, 2023 were as follows: |
Credit Default Swaps on Corporate Issues - Sell Protection (1)
Referenced Obligation | Payment Frequency |
Fixed Deal Rate |
Expiration Date |
Exchange | Implied Credit |
Notional Amount(3) |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
|||||||||||||||||||||||
General Electric Co. |
Q | 1.000% | 12/20/23 | ICE | 0.267% | $300,000 | $1,672 | $1,340 | $332 | |||||||||||||||||||||||
|
|
|
|
|
|
(1) | If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying investments comprising the referenced index or (ii) pay a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index. |
(2) | An implied credit spread is the spread in yield between a U.S. Treasury security and the referenced obligation or underlying investment that are identical in all respects except for the quality rating. Implied credit spreads, represented in the absolute terms, utilized in determining the value of credit default swaps on corporate issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter the agreement. Wider credit spreads, in comparison to narrower credit spreads, represent a deterioration of the referenced entitys credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. |
(3) | The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement. |
Interest Rate Swaps - Long
Receive | Pay | Payment Frequency Receive Rate/ Pay Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||
5.320% | U.S. CPI Urban Consumers | Z/Z | LCH | 04/29/23 | $1,500,000 | ($10,989 | ) | ($9,587 | ) | ($1,402 | ) | |||||||||||||||
5.150% | U.S. CPI Urban Consumers | Z/Z | LCH | 05/23/23 | 4,400,000 | (11,488 | ) | (5,016 | ) | (6,472 | ) | |||||||||||||||
5.185% | U.S. CPI Urban Consumers | Z/Z | LCH | 05/24/23 | 4,100,000 | (8,139 | ) | (2,012 | ) | (6,127 | ) | |||||||||||||||
(0.526%) | 3-Month EUR-LIBOR | A/Q | LCH | 11/21/23 | EUR 16,000,000 | (499,839 | ) | (406,008 | ) | (93,831 | ) | |||||||||||||||
0.700% | 6-Month EUR-LIBOR | A/S | LCH | 04/11/27 | 700,000 | (69,908 | ) | (71,904 | ) | 1,996 | ||||||||||||||||
0.650% | 6-Month EUR-LIBOR | A/S | LCH | 04/12/27 | 1,400,000 | (143,756 | ) | (146,611 | ) | 2,855 | ||||||||||||||||
0.650% | 6-Month EUR-LIBOR | A/S | LCH | 05/11/27 | 900,000 | (93,664 | ) | (95,906 | ) | 2,242 | ||||||||||||||||
1.000% | 6-Month EUR-LIBOR | A/S | LCH | 05/13/27 | 1,600,000 | (137,840 | ) | (148,192 | ) | 10,352 | ||||||||||||||||
1.000% | 6-Month EUR-LIBOR | A/S | LCH | 05/18/27 | 700,000 | (60,280 | ) | (64,959 | ) | 4,679 | ||||||||||||||||
1.954% | U.S. CPI Urban Consumers | Z/Z | LCH | 06/03/29 | $2,350,000 | (329,336 | ) | (305,429 | ) | (23,907 | ) | |||||||||||||||
1.998% | U.S. CPI Urban Consumers | Z/Z | LCH | 07/25/29 | 7,700,000 | (1,030,443 | ) | (954,413 | ) | (76,030 | ) | |||||||||||||||
1.760% | U.S. CPI Urban Consumers | Z/Z | LCH | 11/04/29 | 3,100,000 | (494,096 | ) | (462,962 | ) | (31,134 | ) | |||||||||||||||
1.883% | U.S. CPI Urban Consumers | Z/Z | LCH | 11/20/29 | 700,000 | (103,595 | ) | (96,657 | ) | (6,938 | ) | |||||||||||||||
1.380% | Eurostat Eurozone HICP | Z/Z | LCH | 03/15/31 | EUR 5,300,000 | (1,182,697 | ) | (1,165,781 | ) | (16,916 | ) | |||||||||||||||
2.879% | 6-Month EUR-LIBOR | A/S | LCH | 08/15/32 | 7,600,000 | (41,270 | ) | - | (41,270 | ) | ||||||||||||||||
0.000% | 6-Month EUR-LIBOR | A/S | LCH | 11/04/32 | 9,200,000 | (2,513,329 | ) | (2,467,362 | ) | (45,967 | ) | |||||||||||||||
0.000% | 6-Month EUR-LIBOR | A/S | LCH | 11/08/32 | 8,300,000 | (2,270,258 | ) | (2,228,873 | ) | (41,385 | ) | |||||||||||||||
2.547% | 6-Month EUR-LIBOR | A/S | LCH | 03/09/33 | 1,300,000 | (50,449 | ) | (65,475 | ) | 15,026 | ||||||||||||||||
3.000% | 6-Month EUR-LIBOR | A/S | LCH | 09/20/33 | 4,900,000 | 30,401 | (35,398 | ) | 65,799 | |||||||||||||||||
3.085% | 1-Day USD-SOFR | A/A | LCH | 02/13/34 | $21,200,000 | 110,153 | (342,581 | ) | 452,734 | |||||||||||||||||
2.488% | Eurostat Eurozone HICP | Z/Z | LCH | 05/15/37 | EUR1,620,000 | (98,808 | ) | (101,271 | ) | 2,463 | ||||||||||||||||
2.421% | Eurostat Eurozone HICP | Z/Z | LCH | 05/15/52 | 240,000 | (32,322 | ) | (30,243 | ) | (2,079 | ) | |||||||||||||||
2.590% | Eurostat Eurozone HICP | Z/Z | LCH | 12/15/52 | 900,000 | (25,223 | ) | (20,415 | ) | (4,808 | ) | |||||||||||||||
1.888% | 3-Month USD-LIBOR | S/Q | LCH | 11/21/53 | $1,100,000 | (263,550 | ) | (290,124 | ) | 26,574 | ||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
($9,330,725 | ) | ($9,517,179 | ) | $186,454 | ||||||||||||||||||||||
|
|
|
|
|
|
Interest Rate Swaps - Short
Pay | Receive | Payment Frequency Pay Rate/ Receive Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||
2.263% | U.S. CPI Urban Consumers | Z/Z | LCH | 04/27/23 | $5,320,000 | $475,316 | $468,963 | $6,353 | ||||||||||||||||||
2.263% | U.S. CPI Urban Consumers | Z/Z | LCH | 05/09/23 | 1,150,000 | 103,795 | 102,030 | 1,765 | ||||||||||||||||||
2.281% | U.S. CPI Urban Consumers | Z/Z | LCH | 05/10/23 | 1,760,000 | 157,244 | 154,514 | 2,730 | ||||||||||||||||||
0.550% | 6-Month EUR-LIBOR | A/S | LCH | 08/10/24 | EUR 200,000 | (8,507 | ) | (8,508 | ) | 1 | ||||||||||||||||
2.314% | U.S. CPI Urban Consumers | Z/Z | LCH | 02/26/26 | $2,100,000 | 212,104 | 203,223 | 8,881 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
43
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Pay | Receive | Payment Frequency Pay Rate/ Receive Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||
2.419% | U.S. CPI Urban Consumers | Z/Z | LCH | 03/05/26 | $ 2,800,000 | $ 268,420 | $ 255,476 | $ 12,944 | ||||||||||||||||||||
2.768% | U.S. CPI Urban Consumers | Z/Z | LCH | 05/13/26 | 1,700,000 | 127,945 | 118,816 | 9,129 | ||||||||||||||||||||
2.813% | U.S. CPI Urban Consumers | Z/Z | LCH | 05/14/26 | 1,000,000 | 72,915 | 67,532 | 5,383 | ||||||||||||||||||||
2.703% | U.S. CPI Urban Consumers | Z/Z | LCH | 05/25/26 | 1,210,000 | 93,915 | 86,786 | 7,129 | ||||||||||||||||||||
2.965% | Eurostat Eurozone HICP | Z/Z | LCH | 05/15/27 | EUR 800,000 | 28,812 | 30,996 | (2,184 | ) | |||||||||||||||||||
3.000% | Eurostat Eurozone HICP | Z/Z | LCH | 05/15/27 | 1,300,000 | 44,350 | 47,984 | (3,634 | ) | |||||||||||||||||||
3.130% | Eurostat Eurozone HICP | Z/Z | LCH | 05/15/27 | 300,000 | 8,112 | 9,023 | (911 | ) | |||||||||||||||||||
1.798% | U.S. CPI Urban Consumers | Z/Z | LCH | 08/25/27 | $900,000 | 135,426 | 129,014 | 6,412 | ||||||||||||||||||||
1.890% | U.S. CPI Urban Consumers | Z/Z | LCH | 08/27/27 | 1,000,000 | 143,999 | 136,950 | 7,049 | ||||||||||||||||||||
0.300% | 1-Day JPY-TONAR | S/S | LCH | 09/20/27 | JPY 377,560,000 | 5,833 | (4,347 | ) | 10,180 | |||||||||||||||||||
3.250% | 3-Month NZD Bank Bills | S/Q | CME | 03/21/28 | NZD 3,500,000 | 114,596 | 149,437 | (34,841 | ) | |||||||||||||||||||
2.573% | U.S. CPI Urban Consumers | Z/Z | LCH | 08/26/28 | $400,000 | 26,826 | 23,914 | 2,912 | ||||||||||||||||||||
2.645% | U.S. CPI Urban Consumers | Z/Z | LCH | 09/10/28 | 500,000 | 29,724 | 26,277 | 3,447 | ||||||||||||||||||||
1.840% | 3-Month USD-LIBOR | S/Q | LCH | 11/21/28 | 5,500,000 | 374,832 | 442,298 | (67,466 | ) | |||||||||||||||||||
2.311% | U.S. CPI Urban Consumers | Z/Z | LCH | 02/24/31 | 5,100,000 | 583,370 | 535,506 | 47,864 | ||||||||||||||||||||
2.600% | Eurostat Eurozone HICP | Z/Z | LCH | 05/15/32 | EUR 1,500,000 | 67,558 | 71,769 | (4,211 | ) | |||||||||||||||||||
2.720% | Eurostat Eurozone HICP | Z/Z | LCH | 06/15/32 | 1,400,000 | 22,194 | 27,531 | (5,337 | ) | |||||||||||||||||||
2.470% | Eurostat Eurozone HICP | Z/Z | LCH | 07/15/32 | 800,000 | 33,122 | 35,407 | (2,285 | ) | |||||||||||||||||||
0.190% | 6-Month EUR-LIBOR | A/S | LCH | 11/04/52 | 1,500,000 | 766,258 | 755,767 | 10,491 | ||||||||||||||||||||
0.195% | 6-Month EUR-LIBOR | A/S | LCH | 11/04/52 | 1,550,000 | 790,085 | 779,315 | 10,770 | ||||||||||||||||||||
0.197% | 6-Month EUR-LIBOR | A/S | LCH | 11/08/52 | 2,800,000 | 1,426,452 | 1,407,046 | 19,406 | ||||||||||||||||||||
2.500% | 6-Month EUR-LIBOR | A/S | LCH | 09/20/53 | 2,700,000 | (21,432 | ) | 15,991 | (37,423 | ) | ||||||||||||||||||
2.865% | 1-Day USD-SOFR | A/A | LCH | 02/13/54 | $9,400,000 | (50,303 | ) | 240,548 | (290,851 | ) | ||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||
$6,032,961 | $6,309,258 | ($276,297 | ) | |||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||
Total Interest Rate Swaps |
($3,297,764 | ) | ($3,207,921 | ) | ($89,843 | ) | ||||||||||||||||||||||
|
|
|
|
|
|
Total Return Swaps - Long
Receive | Pay | Payment Frequency Receive Rate/ Pay Rate |
Counter- party |
Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.375% due 07/15/23 | 4.770% | Z | MSC | 04/21/23 | $5,000,000 | $45,223 | $- | $45,223 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.625% due 01/15/24 | 4.770% | Z | MSC | 04/21/23 | 15,000,000 | 155,698 | - | 155,698 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.500% due 04/15/24 | 4.770% | Z | MSC | 04/21/23 | 5,000,000 | 39,403 | - | 39,403 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.125% due 10/15/24 | 4.770% | Z | MSC | 04/21/23 | 10,000,000 | 65,249 | - | 65,249 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.250% due 01/15/25 | 4.770% | Z | MSC | 04/21/23 | 10,000,000 | 96,467 | - | 96,467 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.125% due 04/15/25 | 4.770% | Z | MSC | 04/21/23 | 15,000,000 | 107,412 | - | 107,412 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.375% due 01/15/27 | 4.770% | Z | MSC | 04/21/23 | 20,000,000 | 105,809 | - | 105,809 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.375% due 07/15/27 | 4.770% | Z | MSC | 04/21/23 | 30,000,000 | 177,909 | - | 177,909 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.125% due 07/15/31 | 4.770% | Z | MSC | 04/21/23 | 20,000,000 | 110,323 | - | 110,323 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.625% due 01/15/26 | 4.930% | Z | MSC | 06/06/23 | 10,000,000 | 143,711 | - | 143,711 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.750% due 07/15/28 | 4.930% | Z | MSC | 06/06/23 | 25,000,000 | 498,078 | - | 498,078 | ||||||||||||||||||
U.S. Treasury Inflation Protected Securities 0.125% due 01/15/32 | 4.930% | Z | MSC | 06/06/23 | 30,000,000 | 586,861 | - | 586,861 | ||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
$2,132,143 | $- | $2,132,143 | ||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
Total Swap Agreements |
|
($1,163,949 | ) | ($3,206,581 | ) | $2,042,632 | ||||||||||||||||||||
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
44
PACIFIC SELECT FUND
INFLATION MANAGED PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(g) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant |
|||||||||||||||
Assets |
Corporate Bonds & Notes |
$20,381,101 | $- | $20,381,101 | $- | |||||||||||||
Mortgage-Backed Securities |
45,533,668 | - | 45,533,668 | - | ||||||||||||||
Asset-Backed Securities |
61,698,105 | - | 61,698,105 | - | ||||||||||||||
U.S. Treasury Obligations |
479,699,707 | - | 479,699,707 | - | ||||||||||||||
Foreign Government Bonds & Notes |
43,087,604 | - | 43,087,604 | - | ||||||||||||||
Short-Term Investments |
77,906,903 | - | 77,906,903 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Credit Contracts |
||||||||||||||||||
Swaps |
332 | - | 332 | - | ||||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
394,664 | - | 394,664 | - | ||||||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
1,027,523 | 1,027,523 | - | - | ||||||||||||||
Purchased Options |
764,846 | - | 764,846 | - | ||||||||||||||
Swaps |
2,889,709 | - | 2,889,709 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Interest Rate Contracts |
4,682,078 | 1,027,523 | 3,654,555 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Asset - Derivatives |
5,077,074 | 1,027,523 | 4,049,551 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
733,384,162 | 1,027,523 | 732,356,639 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Sale-buyback Financing Transactions |
(232,410,918 | ) | - | (232,410,918 | ) | - | |||||||||||
Derivatives: |
||||||||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
(1,807,260 | ) | - | (1,807,260 | ) | - | ||||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
(5,353,864 | ) | (5,353,864 | ) | - | - | ||||||||||||
Written Options |
(1,223,255 | ) | - | (1,223,255 | ) | - | ||||||||||||
Swaps |
(847,409 | ) | - | (847,409 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Interest Rate Contracts |
(7,424,528 | ) | (5,353,864 | ) | (2,070,664 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities - Derivatives |
(9,231,788 | ) | (5,353,864 | ) | (3,877,924 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(241,642,706 | ) | (5,353,864 | ) | (236,288,842 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$491,741,456 | ($4,326,341 | ) | $496,067,797 | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
45
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
CORPORATE BONDS & NOTES - 25.9% |
| |||||||
Basic Materials - 0.5% |
| |||||||
Anglo American Capital PLC (South Africa) |
$1,200,000 | $1,171,776 | ||||||
CF Industries, Inc. |
960,000 | 829,592 | ||||||
DuPont de Nemours, Inc. |
685,000 | 690,437 | ||||||
Glencore Funding LLC (Australia) |
760,000 | 637,070 | ||||||
International Flavors & Fragrances, Inc. |
1,126,000 | 904,439 | ||||||
LYB International Finance III LLC |
329,000 | 298,228 | ||||||
Nutrien Ltd. (Canada) |
375,000 | 344,717 | ||||||
Steel Dynamics, Inc. |
750,000 | 644,423 | ||||||
Vale Overseas Ltd. (Brazil) |
780,000 | 699,672 | ||||||
|
|
|||||||
6,220,354 | ||||||||
|
|
|||||||
Communications - 1.4% |
||||||||
Amazon.com, Inc. |
||||||||
3.875% due 08/22/37 |
800,000 | 745,176 | ||||||
3.950% due 04/13/52 |
875,000 | 777,563 | ||||||
AT&T, Inc. |
||||||||
2.750% due 06/01/31 |
3,100,000 | 2,672,848 | ||||||
3.550% due 09/15/55 |
1,434,000 | 1,031,153 | ||||||
Charter Communications Operating LLC/Charter Communications Operating Capital |
| |||||||
2.800% due 04/01/31 |
3,050,000 | 2,456,648 | ||||||
3.500% due 06/01/41 |
1,285,000 | 882,932 | ||||||
3.700% due 04/01/51 |
860,000 | 551,445 | ||||||
Comcast Corp. |
||||||||
2.650% due 02/01/30 |
1,500,000 | 1,336,859 | ||||||
2.800% due 01/15/51 |
736,000 | 497,859 | ||||||
3.250% due 11/01/39 |
1,970,000 | 1,600,707 | ||||||
Corning, Inc. |
300,000 | 316,812 | ||||||
Cox Communications, Inc. |
555,000 | 356,581 | ||||||
Deutsche Telekom AG (Germany) |
700,000 | 544,164 | ||||||
Discovery Communications LLC |
980,000 | 869,752 | ||||||
Paramount Global |
575,000 | 524,340 | ||||||
Verizon Communications, Inc. |
||||||||
2.650% due 11/20/40 |
2,046,000 | 1,462,506 | ||||||
3.700% due 03/22/61 |
600,000 | 448,384 | ||||||
Walt Disney Co. |
600,000 | 530,406 | ||||||
|
|
|||||||
17,606,135 | ||||||||
|
|
|||||||
Consumer, Cyclical - 2.4% |
||||||||
7-Eleven, Inc. |
||||||||
1.800% due 02/10/31 ~ |
1,780,000 | 1,411,530 | ||||||
2.500% due 02/10/41 ~ |
283,000 | 191,403 | ||||||
Alimentation Couche-Tard, Inc. (Canada) |
875,000 | 614,008 | ||||||
American Airlines Pass-Through Trust Class A |
1,165,590 | 1,008,778 | ||||||
American Airlines Pass-Through Trust Class AA |
1,496,560 | 1,345,703 |
Principal |
Value |
|||||||
American Airlines Pass-Through Trust Class B |
$ 2,159,255 | $ 1,900,202 | ||||||
Delta Air Lines Pass-Through Trust Class A |
1,973,188 | 1,733,390 | ||||||
Delta Air Lines Pass-Through Trust Class B |
475,742 | 471,262 | ||||||
General Motors Financial Co., Inc. |
||||||||
1.200% due 10/15/24 |
1,600,000 | 1,498,460 | ||||||
3.800% due 04/07/25 |
390,000 | 379,422 | ||||||
4.350% due 01/17/27 |
230,000 | 223,060 | ||||||
Hasbro, Inc. |
682,000 | 621,443 | ||||||
Home Depot, Inc. |
625,000 | 625,196 | ||||||
Hyundai Capital America |
||||||||
1.300% due 01/08/26 ~ |
1,825,000 | 1,639,705 | ||||||
1.800% due 01/10/28 ~ |
395,000 | 335,219 | ||||||
2.650% due 02/10/25 ~ |
600,000 | 572,544 | ||||||
JetBlue Pass-Through Trust |
1,131,592 | 1,134,980 | ||||||
Lear Corp. |
265,000 | 207,691 | ||||||
Lennar Corp. |
195,000 | 192,723 | ||||||
Lowes Cos., Inc. |
1,000,000 | 988,671 | ||||||
MDC Holdings, Inc. |
530,000 | 412,697 | ||||||
OReilly Automotive, Inc. |
1,135,000 | 1,083,960 | ||||||
Starbucks Corp. |
||||||||
2.550% due 11/15/30 |
2,000,000 | 1,741,623 | ||||||
3.350% due 03/12/50 |
565,000 | 421,837 | ||||||
4.800% due 02/15/33 |
1,200,000 | 1,211,845 | ||||||
Stellantis Finance US, Inc. |
791,000 | 700,292 | ||||||
Tractor Supply Co. |
1,000,000 | 796,431 | ||||||
United Airlines Pass-Through Trust Class A |
||||||||
3.100% due 04/07/30 |
470,842 | 408,132 | ||||||
3.700% due 09/01/31 |
1,188,261 | 1,029,566 | ||||||
United Airlines Pass-Through Trust Class B |
||||||||
3.650% due 04/07/27 |
1,249,294 | 1,161,076 | ||||||
3.650% due 07/07/27 |
1,738,148 | 1,622,756 | ||||||
Volkswagen Group of America Finance LLC (Germany) |
1,500,000 | 1,365,402 | ||||||
|
|
|||||||
29,051,007 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 3.4% |
||||||||
AbbVie, Inc. |
||||||||
3.200% due 11/21/29 |
1,675,000 | 1,555,081 | ||||||
4.050% due 11/21/39 |
2,120,000 | 1,896,422 | ||||||
4.250% due 11/21/49 |
910,000 | 803,872 | ||||||
Altria Group, Inc. |
835,000 | 657,926 | ||||||
Amgen, Inc. |
||||||||
3.150% due 02/21/40 |
1,125,000 | 883,696 | ||||||
5.250% due 03/02/33 |
995,000 | 1,022,806 | ||||||
5.600% due 03/02/43 |
1,260,000 | 1,299,118 | ||||||
5.650% due 03/02/53 |
535,000 | 557,318 | ||||||
AstraZeneca PLC (United Kingdom) |
205,000 | 242,049 | ||||||
Baptist Healthcare System Obligated Group |
540,000 | 407,974 | ||||||
BAT Capital Corp. (United Kingdom) |
3,125,000 | 2,681,505 | ||||||
Bon Secours Mercy Health, Inc. |
700,000 | 496,766 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
46
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Boston Scientific Corp. |
||||||||
4.550% due 03/01/39 |
$ 167,000 | $ 157,246 | ||||||
6.750% due 11/15/35 |
215,000 | 243,465 | ||||||
Bristol-Myers Squibb Co. |
1,000,000 | 932,336 | ||||||
Bunge Ltd. Finance Corp. |
805,000 | 685,186 | ||||||
CommonSpirit Health |
||||||||
2.782% due 10/01/30 |
1,065,000 | 905,885 | ||||||
3.910% due 10/01/50 |
650,000 | 505,006 | ||||||
CVS Health Corp. |
||||||||
4.875% due 07/20/35 |
850,000 | 830,104 | ||||||
5.050% due 03/25/48 |
430,000 | 402,682 | ||||||
5.250% due 02/21/33 |
900,000 | 918,902 | ||||||
CVS Pass-Through Trust |
485,040 | 440,096 | ||||||
DH Europe Finance II SARL |
285,000 | 238,058 | ||||||
Elevance Health, Inc. |
1,135,000 | 975,168 | ||||||
Gilead Sciences, Inc. |
||||||||
1.650% due 10/01/30 |
1,125,000 | 926,641 | ||||||
2.600% due 10/01/40 |
675,000 | 498,321 | ||||||
Global Payments, Inc. |
||||||||
3.200% due 08/15/29 |
1,234,000 | 1,086,580 | ||||||
5.300% due 08/15/29 |
285,000 | 281,733 | ||||||
Haleon US Capital LLC |
300,000 | 276,911 | ||||||
HCA, Inc. |
||||||||
5.250% due 06/15/26 |
2,430,000 | 2,433,609 | ||||||
5.500% due 06/15/47 |
700,000 | 658,167 | ||||||
Kellogg Co. |
775,000 | 795,913 | ||||||
Keurig Dr Pepper, Inc. |
400,000 | 365,266 | ||||||
Kraft Heinz Foods Co. |
||||||||
4.375% due 06/01/46 |
360,000 | 313,951 | ||||||
4.625% due 10/01/39 |
640,000 | 587,331 | ||||||
Kroger Co. |
1,300,000 | 1,035,036 | ||||||
MedStar Health, Inc. |
520,000 | 379,965 | ||||||
MultiCare Health System |
560,000 | 346,542 | ||||||
MyMichigan Health |
1,000,000 | 723,857 | ||||||
Nationwide Childrens Hospital, Inc. |
150,000 | 142,304 | ||||||
PeaceHealth Obligated Group |
655,000 | 465,913 | ||||||
Piedmont Healthcare, Inc. |
515,000 | 334,502 | ||||||
Quanta Services, Inc. |
890,000 | 707,131 | ||||||
Regeneron Pharmaceuticals, Inc. |
1,125,000 | 910,904 | ||||||
Royalty Pharma PLC |
84,000 | 66,437 | ||||||
S&P Global, Inc. |
853,000 | 776,419 | ||||||
Smithfield Foods, Inc. |
1,025,000 | 818,582 | ||||||
Takeda Pharmaceutical Co. Ltd. (Japan) |
1,695,000 | 1,294,964 | ||||||
Thermo Fisher Scientific, Inc. |
835,000 | 696,644 | ||||||
Triton Container International Ltd. (Bermuda) |
1,100,000 | 977,214 | ||||||
Tyson Foods, Inc. |
850,000 | 811,169 | ||||||
UnitedHealth Group, Inc. |
||||||||
2.750% due 05/15/40 |
945,000 | 715,597 |
Principal |
Value |
|||||||
3.250% due 05/15/51 |
$ 525,000 | $ 395,192 | ||||||
5.875% due 02/15/53 |
420,000 | 472,824 | ||||||
Universal Health Services, Inc. |
50,000 | 40,127 | ||||||
University of Miami |
240,000 | 206,275 | ||||||
Verisk Analytics, Inc. |
660,000 | 693,416 | ||||||
Viatris, Inc. |
340,000 | 238,937 | ||||||
Zoetis, Inc. |
715,000 | 763,038 | ||||||
|
|
|||||||
41,976,079 | ||||||||
|
|
|||||||
Energy - 1.9% |
||||||||
Aker BP ASA (Norway) |
307,000 | 276,378 | ||||||
BG Energy Capital PLC (United Kingdom) |
280,000 | 273,069 | ||||||
Boardwalk Pipelines LP |
480,000 | 468,064 | ||||||
BP Capital Markets America, Inc. |
||||||||
3.633% due 04/06/30 |
1,685,000 | 1,599,932 | ||||||
4.812% due 02/13/33 |
860,000 | 873,550 | ||||||
Coterra Energy, Inc. |
495,000 | 472,774 | ||||||
DT Midstream, Inc. |
790,000 | 708,988 | ||||||
Enbridge, Inc. (Canada) |
700,000 | 728,520 | ||||||
Energy Transfer LP |
||||||||
3.900% due 07/15/26 |
2,470,000 | 2,377,227 | ||||||
4.150% due 09/15/29 |
605,000 | 565,922 | ||||||
6.100% due 02/15/42 |
455,000 | 446,095 | ||||||
Eni SpA (Italy) |
590,000 | 585,261 | ||||||
Enterprise Products Operating LLC |
740,000 | 722,973 | ||||||
Exxon Mobil Corp. |
1,060,000 | 957,268 | ||||||
Flex Intermediate Holdco LLC |
||||||||
3.363% due 06/30/31 ~ |
475,000 | 390,768 | ||||||
4.317% due 12/30/39 ~ |
335,000 | 255,298 | ||||||
Galaxy Pipeline Assets Bidco Ltd. (United Arab Emirates) |
522,418 | 424,457 | ||||||
Gray Oak Pipeline LLC |
1,685,000 | 1,563,119 | ||||||
HF Sinclair Corp. |
||||||||
2.625% due 10/01/23 |
540,000 | 531,490 | ||||||
5.875% due 04/01/26 |
842,000 | 851,502 | ||||||
Kinder Morgan, Inc. |
310,000 | 273,907 | ||||||
MPLX LP |
580,000 | 516,062 | ||||||
NGPL PipeCo LLC |
860,000 | 730,665 | ||||||
Phillips 66 |
620,000 | 628,806 | ||||||
Phillips 66 Co. |
560,000 | 534,622 | ||||||
Pioneer Natural Resources Co. |
760,000 | 619,176 | ||||||
Sabine Pass Liquefaction LLC |
||||||||
4.500% due 05/15/30 |
300,000 | 289,525 | ||||||
5.625% due 03/01/25 |
1,130,000 | 1,137,628 | ||||||
Saudi Arabian Oil Co. (Saudi Arabia) |
200,000 | 185,472 | ||||||
Shell International Finance BV (Netherlands) |
1,135,000 | 1,007,424 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
47
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Suncor Energy, Inc. (Canada) |
$ 690,000 | $ 713,230 | ||||||
Targa Resources Corp. |
190,000 | 171,052 | ||||||
TotalEnergies Capital International SA (France) |
1,130,000 | 885,581 | ||||||
|
|
|||||||
22,765,805 | ||||||||
|
|
|||||||
Financial - 10.6% |
||||||||
ABN AMRO Bank NV (Netherlands) |
400,000 | 336,593 | ||||||
AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland) |
||||||||
2.450% due 10/29/26 |
470,000 | 422,414 | ||||||
3.300% due 01/30/32 |
550,000 | 456,056 | ||||||
4.500% due 09/15/23 |
1,000,000 | 990,671 | ||||||
6.500% due 07/15/25 |
300,000 | 302,414 | ||||||
AIB Group PLC (Ireland) |
600,000 | 587,455 | ||||||
Air Lease Corp. |
||||||||
2.875% due 01/15/26 |
610,000 | 569,184 | ||||||
3.375% due 07/01/25 |
2,555,000 | 2,436,241 | ||||||
Alexandria Real Estate Equities, Inc. REIT |
1,130,000 | 1,003,521 | ||||||
American International Group, Inc. |
770,000 | 658,850 | ||||||
American Tower Corp. REIT |
||||||||
2.950% due 01/15/51 |
229,000 | 146,902 | ||||||
3.100% due 06/15/50 |
351,000 | 230,834 | ||||||
Athene Global Funding |
||||||||
0.950% due 01/08/24 ~ |
772,000 | 739,210 | ||||||
1.450% due 01/08/26 ~ |
905,000 | 802,077 | ||||||
2.500% due 01/14/25 ~ |
1,418,000 | 1,339,127 | ||||||
2.500% due 03/24/28 ~ |
885,000 | 745,788 | ||||||
Australia & New Zealand Banking Group Ltd. (Australia) |
1,140,000 | 1,101,934 | ||||||
Aviation Capital Group LLC |
1,000,000 | 988,019 | ||||||
Avolon Holdings Funding Ltd. (Ireland) |
||||||||
2.125% due 02/21/26 ~ |
305,000 | 271,388 | ||||||
2.528% due 11/18/27 ~ |
5,605,000 | 4,747,894 | ||||||
4.250% due 04/15/26 ~ |
765,000 | 720,117 | ||||||
Banco Santander SA (Spain) |
||||||||
1.722% due 09/14/27 |
200,000 | 174,786 | ||||||
1.849% due 03/25/26 |
2,000,000 | 1,795,897 | ||||||
5.147% due 08/18/25 |
400,000 | 393,004 | ||||||
Bank of America Corp. |
||||||||
1.197% due 10/24/26 |
1,385,000 | 1,244,989 | ||||||
2.676% due 06/19/41 |
1,900,000 | 1,345,755 | ||||||
3.705% due 04/24/28 |
6,445,000 | 6,097,499 | ||||||
4.376% due 04/27/28 |
740,000 | 716,401 | ||||||
5.080% due 01/20/27 |
900,000 | 897,874 | ||||||
Bank of Ireland Group PLC (Ireland) |
||||||||
2.029% due 09/30/27 ~ |
1,212,000 | 1,050,018 | ||||||
6.253% due 09/16/26 ~ |
903,000 | 898,500 | ||||||
Bank of Nova Scotia (Canada) |
1,081,000 | 1,068,425 | ||||||
Banque Federative du Credit Mutuel SA (France) |
1,365,000 | 1,199,417 | ||||||
Barclays PLC (United Kingdom) |
||||||||
1.007% due 12/10/24 |
1,341,000 | 1,292,606 | ||||||
2.894% due 11/24/32 |
358,000 | 287,334 | ||||||
Berkshire Hathaway Finance Corp. |
1,285,000 | 1,078,399 | ||||||
BNP Paribas SA (France) |
||||||||
1.904% due 09/30/28 ~ |
550,000 | 468,178 | ||||||
2.159% due 09/15/29 ~ |
874,000 | 729,225 | ||||||
BPCE SA (France) |
||||||||
1.652% due 10/06/26 ~ |
1,670,000 | 1,501,870 |
Principal |
Value |
|||||||
3.116% due 10/19/32 ~ |
$ 660,000 | $ 495,364 | ||||||
5.975% due 01/18/27 ~ |
1,810,000 | 1,807,074 | ||||||
Brixmor Operating Partnership LP REIT |
||||||||
2.250% due 04/01/28 |
400,000 | 343,659 | ||||||
2.500% due 08/16/31 |
260,000 | 201,139 | ||||||
4.125% due 05/15/29 |
600,000 | 550,204 | ||||||
Brookfield Finance, Inc. (Canada) |
1,200,000 | 801,036 | ||||||
Brown & Brown, Inc. |
1,125,000 | 900,129 | ||||||
Camden Property Trust REIT |
1,100,000 | 979,169 | ||||||
Capital One Financial Corp. |
1,930,000 | 1,772,039 | ||||||
Citigroup, Inc. |
||||||||
2.520% due 11/03/32 |
225,000 | 183,330 | ||||||
3.057% due 01/25/33 |
1,909,000 | 1,616,917 | ||||||
3.520% due 10/27/28 |
1,140,000 | 1,066,500 | ||||||
Commonwealth Bank of Australia (Australia) |
660,000 | 466,671 | ||||||
Corebridge Financial, Inc. |
||||||||
3.650% due 04/05/27 ~ |
985,000 | 924,053 | ||||||
3.850% due 04/05/29 ~ |
270,000 | 246,783 | ||||||
Credit Agricole SA (France) |
||||||||
2.811% due 01/11/41 ~ |
250,000 | 167,200 | ||||||
4.375% due 03/17/25 ~ |
1,125,000 | 1,081,444 | ||||||
Credit Suisse AG (Switzerland) |
||||||||
1.250% due 08/07/26 |
925,000 | 782,781 | ||||||
3.700% due 02/21/25 |
500,000 | 475,215 | ||||||
7.950% due 01/09/25 |
1,117,000 | 1,136,838 | ||||||
Credit Suisse Group AG (Switzerland) |
||||||||
2.593% due 09/11/25 ~ |
339,000 | 314,829 | ||||||
3.091% due 05/14/32 ~ |
745,000 | 600,820 | ||||||
4.282% due 01/09/28 ~ |
1,135,000 | 1,025,756 | ||||||
Crown Castle, Inc. REIT |
2,000,000 | 1,428,260 | ||||||
Danske Bank AS (Denmark) |
460,000 | 460,739 | ||||||
Deutsche Bank AG (Germany) |
||||||||
2.129% due 11/24/26 |
1,220,000 | 1,052,397 | ||||||
6.720% due 01/18/29 |
365,000 | 362,743 | ||||||
DNB Bank ASA (Norway) |
805,000 | 704,207 | ||||||
Empower Finance 2020 LP (Canada) |
625,000 | 408,559 | ||||||
Equinix, Inc. REIT |
840,000 | 781,688 | ||||||
F&G Global Funding |
460,000 | 413,983 | ||||||
Federal Realty Investment Trust REIT |
785,000 | 716,857 | ||||||
Federation des Caisses Desjardins du Quebec (Canada) |
|
|||||||
4.400% due 08/23/25 ~ |
745,000 | 727,180 | ||||||
5.700% due 03/14/28 ~ |
800,000 | 820,058 | ||||||
Goldman Sachs Group, Inc. |
||||||||
1.431% due 03/09/27 |
925,000 | 828,572 | ||||||
1.948% due 10/21/27 |
2,713,000 | 2,426,393 | ||||||
2.640% due 02/24/28 |
716,000 | 653,775 | ||||||
3.691% due 06/05/28 |
1,785,000 | 1,692,584 | ||||||
4.250% due 10/21/25 |
1,850,000 | 1,796,699 | ||||||
Healthcare Realty Holdings LP REIT |
1,125,000 | 879,165 | ||||||
Healthpeak OP LLC REIT |
||||||||
2.125% due 12/01/28 |
813,000 | 705,938 | ||||||
2.875% due 01/15/31 |
1,130,000 | 970,891 | ||||||
HSBC Holdings PLC (United Kingdom) |
||||||||
2.013% due 09/22/28 |
4,175,000 | 3,579,854 | ||||||
2.206% due 08/17/29 |
495,000 | 415,420 | ||||||
Huntington National Bank |
1,293,000 | 1,240,057 | ||||||
ING Groep NV (Netherlands) |
675,000 | 600,349 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
48
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
KeyCorp |
$ 115,000 | $ 103,069 | ||||||
Life Storage LP REIT |
1,230,000 | 992,881 | ||||||
Lloyds Banking Group PLC (United Kingdom) |
||||||||
1.627% due 05/11/27 |
590,000 | 519,006 | ||||||
4.716% due 08/11/26 |
1,150,000 | 1,120,508 | ||||||
LSEGA Financing PLC (United Kingdom) |
1,160,000 | 996,601 | ||||||
Macquarie Group Ltd. (Australia) |
||||||||
1.340% due 01/12/27 ~ |
1,075,000 | 960,064 | ||||||
2.871% due 01/14/33 ~ |
600,000 | 486,507 | ||||||
6.207% due 11/22/24 ~ |
2,736,000 | 2,781,923 | ||||||
Mitsubishi UFJ Financial Group, Inc. (Japan) |
|
|||||||
1.538% due 07/20/27 |
500,000 | 442,860 | ||||||
3.741% due 03/07/29 |
2,065,000 | 1,933,454 | ||||||
5.441% due 02/22/34 |
560,000 | 566,249 | ||||||
Mizuho Financial Group, Inc. (Japan) |
||||||||
1.234% due 05/22/27 |
515,000 | 453,622 | ||||||
5.414% due 09/13/28 |
2,440,000 | 2,452,359 | ||||||
Morgan Stanley |
||||||||
2.475% due 01/21/28 |
1,600,000 | 1,462,946 | ||||||
3.217% due 04/22/42 |
805,000 | 622,482 | ||||||
4.457% due 04/22/39 |
855,000 | 782,595 | ||||||
5.123% due 02/01/29 |
440,000 | 443,838 | ||||||
Natwest Group PLC (United Kingdom) |
||||||||
4.445% due 05/08/30 |
515,000 | 484,017 | ||||||
4.892% due 05/18/29 |
1,400,000 | 1,345,484 | ||||||
NatWest Markets PLC (United Kingdom) |
1,000,000 | 873,998 | ||||||
New York Life Insurance Co. |
1,140,000 | 922,731 | ||||||
Nordea Bank Abp (Finland) |
580,000 | 583,181 | ||||||
Northwestern Mutual Global Funding |
490,000 | 422,078 | ||||||
Physicians Realty LP REIT |
315,000 | 248,489 | ||||||
PNC Financial Services Group, Inc. |
503,000 | 496,615 | ||||||
Public Storage REIT |
||||||||
1.950% due 11/09/28 |
382,000 | 335,793 | ||||||
2.250% due 11/09/31 |
320,000 | 265,766 | ||||||
Realty Income Corp. REIT |
||||||||
1.800% due 03/15/33 |
705,000 | 524,222 | ||||||
4.850% due 03/15/30 |
810,000 | 798,784 | ||||||
Sabra Health Care LP REIT |
515,000 | 378,292 | ||||||
Santander UK Group Holdings PLC (United Kingdom) |
|
|||||||
1.532% due 08/21/26 |
1,000,000 | 893,013 | ||||||
1.673% due 06/14/27 |
560,000 | 488,016 | ||||||
6.534% due 01/10/29 |
1,400,000 | 1,424,630 | ||||||
6.833% due 11/21/26 |
706,000 | 715,750 | ||||||
Scentre Group Trust 1/Scentre Group Trust 2 REIT (Australia) |
1,225,000 | 1,173,980 | ||||||
Societe Generale SA (France) |
||||||||
1.792% due 06/09/27 ~ |
455,000 | 394,948 | ||||||
4.250% due 04/14/25 ~ |
1,935,000 | 1,816,120 | ||||||
Standard Chartered PLC (United Kingdom) |
||||||||
1.214% due 03/23/25 ~ |
2,520,000 | 2,414,210 | ||||||
1.456% due 01/14/27 ~ |
565,000 | 496,830 | ||||||
Sumitomo Mitsui Financial Group, Inc. (Japan) |
1,600,000 | 1,627,903 | ||||||
Teachers Insurance & Annuity Association of America |
555,000 | 401,291 | ||||||
Truist Financial Corp. |
520,000 | 507,554 | ||||||
UBS Group AG (Switzerland) |
||||||||
1.494% due 08/10/27 ~ |
250,000 | 215,541 |
Principal |
Value |
|||||||
2.095% due 02/11/32 ~ |
$ 1,320,000 | $ 1,025,663 | ||||||
4.703% due 08/05/27 ~ |
835,000 | 800,053 | ||||||
UDR, Inc. REIT |
||||||||
1.900% due 03/15/33 |
185,000 | 138,530 | ||||||
2.100% due 08/01/32 |
1,130,000 | 873,542 | ||||||
UniCredit SpA (Italy) |
||||||||
1.982% due 06/03/27 ~ |
1,440,000 | 1,258,210 | ||||||
5.861% due 06/19/32 ~ |
315,000 | 278,080 | ||||||
Wells Fargo & Co. |
||||||||
2.393% due 06/02/28 |
1,600,000 | 1,441,804 | ||||||
4.611% due 04/25/53 |
780,000 | 692,915 | ||||||
Welltower OP LLC REIT |
1,200,000 | 997,893 | ||||||
Westpac Banking Corp. (Australia) |
||||||||
3.133% due 11/18/41 |
541,000 | 373,422 | ||||||
5.405% due 08/10/33 |
780,000 | 746,260 | ||||||
WP Carey, Inc. REIT |
||||||||
2.250% due 04/01/33 |
325,000 | 247,975 | ||||||
2.400% due 02/01/31 |
1,130,000 | 923,408 | ||||||
|
|
|||||||
130,610,139 | ||||||||
|
|
|||||||
Industrial - 1.3% |
||||||||
BAE Systems PLC (United Kingdom) |
935,000 | 858,908 | ||||||
Boeing Co. |
||||||||
2.700% due 02/01/27 |
2,115,000 | 1,949,756 | ||||||
2.750% due 02/01/26 |
162,000 | 153,817 | ||||||
3.100% due 05/01/26 |
2,537,000 | 2,404,253 | ||||||
CRH America, Inc. () |
450,000 | 437,887 | ||||||
CSX Corp. |
1,000,000 | 822,762 | ||||||
Graphic Packaging International LLC |
594,000 | 529,833 | ||||||
Kansas City Southern |
1,500,000 | 1,377,592 | ||||||
Masco Corp. |
1,125,000 | 900,006 | ||||||
Norfolk Southern Corp. |
400,000 | 277,947 | ||||||
Northrop Grumman Corp. |
1,120,000 | 940,604 | ||||||
Otis Worldwide Corp. |
500,000 | 388,424 | ||||||
Penske Truck Leasing Co. LP/PTL Finance Corp. |
1,365,000 | 1,227,874 | ||||||
Raytheon Technologies Corp. |
||||||||
2.250% due 07/01/30 |
975,000 | 835,790 | ||||||
3.750% due 11/01/46 |
1,530,000 | 1,267,829 | ||||||
5.150% due 02/27/33 |
604,000 | 628,933 | ||||||
Siemens Financieringsmaatschappij NV (Denmark) |
860,000 | 678,737 | ||||||
Union Pacific Corp. |
765,000 | 650,674 | ||||||
|
|
|||||||
16,331,626 | ||||||||
|
|
|||||||
Technology - 1.7% |
||||||||
Analog Devices, Inc. |
259,000 | 197,940 | ||||||
Apple, Inc. |
2,000,000 | 1,795,266 | ||||||
Broadcom, Inc. |
||||||||
1.950% due 02/15/28 ~ |
2,800,000 | 2,437,279 | ||||||
3.187% due 11/15/36 ~ |
148,000 | 112,282 | ||||||
CGI, Inc. (Canada) |
925,000 | 732,916 | ||||||
Dell International LLC/EMC Corp. |
695,000 | 725,180 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
49
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Intel Corp. |
||||||||
4.900% due 08/05/52 |
$ 780,000 | $ 727,458 | ||||||
5.625% due 02/10/43 |
160,000 | 164,110 | ||||||
5.700% due 02/10/53 |
270,000 | 275,869 | ||||||
KLA Corp. |
1,455,000 | 1,114,007 | ||||||
Leidos, Inc. |
1,185,000 | 962,266 | ||||||
Microchip Technology, Inc. |
||||||||
0.983% due 09/01/24 |
186,000 | 175,640 | ||||||
2.670% due 09/01/23 |
218,000 | 214,972 | ||||||
NXP BV/NXP Funding LLC/NXP USA, Inc. (China) |
|
|||||||
2.500% due 05/11/31 |
1,870,000 | 1,547,082 | ||||||
3.250% due 05/11/41 |
895,000 | 653,069 | ||||||
Oracle Corp. |
||||||||
3.800% due 11/15/37 |
575,000 | 478,083 | ||||||
3.950% due 03/25/51 |
645,000 | 486,306 | ||||||
4.900% due 02/06/33 |
850,000 | 832,900 | ||||||
5.550% due 02/06/53 |
600,000 | 571,981 | ||||||
QUALCOMM, Inc. |
300,000 | 279,918 | ||||||
Roper Technologies, Inc. |
825,000 | 659,991 | ||||||
Take-Two Interactive Software, Inc. |
886,000 | 857,494 | ||||||
TSMC Global Ltd. (Taiwan) |
1,385,000 | 1,106,587 | ||||||
VMware, Inc. |
||||||||
1.400% due 08/15/26 |
1,028,000 | 909,782 | ||||||
4.700% due 05/15/30 |
2,415,000 | 2,345,623 | ||||||
|
|
|||||||
20,364,001 | ||||||||
|
|
|||||||
Utilities - 2.7% |
||||||||
Alexander Funding Trust |
800,000 | 776,233 | ||||||
APA Infrastructure Ltd. (Australia) |
450,000 | 441,035 | ||||||
Atmos Energy Corp. |
705,000 | 563,277 | ||||||
CenterPoint Energy Resources Corp. |
560,000 | 453,119 | ||||||
Commonwealth Edison Co. |
1,300,000 | 1,032,057 | ||||||
Constellation Energy Generation LLC |
||||||||
3.250% due 06/01/25 |
2,330,000 | 2,247,692 | ||||||
5.800% due 03/01/33 |
819,000 | 845,386 | ||||||
Consumers Energy Co. |
265,000 | 198,644 | ||||||
Dominion Energy, Inc. |
1,000,000 | 772,501 | ||||||
DTE Electric Co. |
500,000 | 372,677 | ||||||
Duke Energy Corp. |
1,500,000 | 1,168,776 | ||||||
Duke Energy Indiana LLC |
395,000 | 289,661 | ||||||
Duquesne Light Holdings, Inc. |
800,000 | 646,977 | ||||||
Edison International |
255,000 | 260,652 | ||||||
Emera US Finance LP (Canada) |
550,000 | 447,046 | ||||||
Entergy Arkansas LLC |
995,000 | 645,761 | ||||||
Entergy Louisiana LLC |
||||||||
2.900% due 03/15/51 |
260,000 | 177,497 | ||||||
4.000% due 03/15/33 |
430,000 | 402,949 | ||||||
Evergy, Inc. |
1,160,000 | 1,040,625 | ||||||
Fells Point Funding Trust |
1,370,000 | 1,272,309 |
Principal |
Value |
|||||||
FirstEnergy Transmission LLC |
$ 525,000 | $ 442,640 | ||||||
Fortis, Inc. (Canada) |
750,000 | 704,472 | ||||||
ITC Holdings Corp. |
||||||||
2.950% due 05/14/30 ~ |
360,000 | 317,347 | ||||||
4.950% due 09/22/27 ~ |
992,000 | 998,610 | ||||||
Jersey Central Power & Light Co. |
1,130,000 | 1,109,962 | ||||||
NiSource, Inc. |
1,094,000 | 1,113,726 | ||||||
NRG Energy, Inc. |
||||||||
2.000% due 12/02/25 ~ |
430,000 | 387,632 | ||||||
2.450% due 12/02/27 ~ |
1,020,000 | 873,460 | ||||||
Pacific Gas and Electric Co. |
||||||||
1.700% due 11/15/23 |
420,000 | 409,831 | ||||||
2.950% due 03/01/26 |
1,490,000 | 1,387,553 | ||||||
3.450% due 07/01/25 |
475,000 | 453,127 | ||||||
3.750% due 08/15/42 |
191,000 | 135,921 | ||||||
4.300% due 03/15/45 |
325,000 | 245,085 | ||||||
PacifiCorp |
450,000 | 386,196 | ||||||
PG&E Recovery Funding LLC |
975,000 | 1,037,006 | ||||||
PG&E Wildfire Recovery Funding LLC |
||||||||
4.263% due 06/01/38 |
325,000 | 315,056 | ||||||
5.099% due 06/01/54 |
415,000 | 423,484 | ||||||
5.212% due 12/01/49 |
225,000 | 231,177 | ||||||
Public Service Co. of Oklahoma |
930,000 | 949,712 | ||||||
Puget Energy, Inc. |
330,000 | 290,963 | ||||||
San Diego Gas & Electric Co. |
1,100,000 | 766,902 | ||||||
Southern California Edison Co. |
||||||||
1.200% due 02/01/26 |
540,000 | 486,419 | ||||||
4.125% due 03/01/48 |
1,290,000 | 1,069,848 | ||||||
Southern California Gas Co. |
600,000 | 692,364 | ||||||
Southern Co. Gas Capital Corp. |
1,000,000 | 845,858 | ||||||
Southern Power Co. |
895,000 | 843,360 | ||||||
Union Electric Co. |
520,000 | 437,634 | ||||||
Vistra Operations Co. LLC |
1,063,000 | 1,048,712 | ||||||
WEC Energy Group, Inc. |
615,000 | 533,704 | ||||||
|
|
|||||||
32,992,635 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
317,917,781 | |||||||
|
|
|||||||
MORTGAGE-BACKED SECURITIES - 32.8% |
| |||||||
Collateralized Mortgage Obligations - Commercial - 3.6% |
| |||||||
ACRE Commercial Mortgage Ltd. |
||||||||
5.591% (USD LIBOR + 0.830%) due 12/18/37 § ~ |
977,336 | 961,491 | ||||||
6.161% (USD LIBOR + 1.400%) due 12/18/37 § ~ |
1,198,000 | 1,163,171 | ||||||
BAMLL RE-Remic Trust |
1,955,000 | 1,788,549 | ||||||
BPR Trust |
1,790,000 | 1,749,599 | ||||||
Commercial Mortgage Trust |
1,600,000 | 1,405,996 | ||||||
Fannie Mae |
||||||||
1.707% due 11/25/31 § |
3,500,000 | 2,850,117 | ||||||
2.593% due 06/25/32 § |
4,798,000 | 4,220,283 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
50
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates |
$ 2,900,000 | $ 2,811,241 | ||||||
Freddie Mac |
3,675,891 | 3,354,799 | ||||||
Freddie Mac (IO) |
||||||||
1.195% due 11/25/30 § |
18,945,000 | 1,412,338 | ||||||
1.211% due 10/25/30 § |
15,300,000 | 1,151,501 | ||||||
1.364% due 12/25/29 § |
8,830,000 | 560,821 | ||||||
Freddie Mac Multifamily Structured Pass-Through Certificates |
| |||||||
1.981% due 12/25/31 § |
3,800,000 | 3,170,443 | ||||||
2.920% due 06/25/32 |
2,100,000 | 1,894,541 | ||||||
FREMF Mortgage Trust |
||||||||
3.576% due 01/25/26 § ~ |
2,100,000 | 1,957,711 | ||||||
3.881% due 01/25/50 § ~ |
2,385,000 | 2,258,674 | ||||||
4.053% due 04/25/48 § ~ |
2,000,000 | 1,923,339 | ||||||
4.156% due 08/25/47 § ~ |
2,000,000 | 1,957,283 | ||||||
FRR RE REMIC Trust |
2,400,000 | 2,357,676 | ||||||
MHC Commercial Mortgage Trust |
750,000 | 705,324 | ||||||
PFP Ltd. (Cayman) |
1,570,922 | 1,477,464 | ||||||
SLG Office Trust |
2,470,000 | 1,974,501 | ||||||
Wells Fargo Commercial Mortgage Trust 5.834% (USD LIBOR + 1.150%) |
1,099,916 | 1,042,372 | ||||||
|
|
|||||||
44,149,234 | ||||||||
|
|
|||||||
Collateralized Mortgage Obligations - Residential - 5.1% |
| |||||||
Ajax Mortgage Loan Trust |
1,314,653 | 1,236,486 | ||||||
Anchor Mortgage Trust |
2,156,026 | 2,094,825 | ||||||
ANTLR Mortgage Trust |
1,864,000 | 1,833,286 | ||||||
CFMT LLC |
||||||||
0.946% due 12/26/30 § ~ |
689,744 | 672,919 | ||||||
1.374% due 02/25/31 § ~ |
3,815,000 | 3,609,335 | ||||||
Credit Suisse Mortgage Trust |
1,559,741 | 1,516,804 | ||||||
CSMC Trust |
2,564,762 | 2,456,231 | ||||||
Fannie Mae REMICS |
4,045,883 | 3,876,716 | ||||||
Freddie Mac |
2,389,216 | 2,103,794 | ||||||
Freddie Mac REMICS |
||||||||
1.500% due 01/25/51 |
2,867,723 | 2,340,513 | ||||||
3.500% due 01/15/48 |
4,777,666 | 4,275,694 | ||||||
Government National Mortgage Association 5.846% (USD LIBOR+1.280%) |
8,002,395 | 8,007,852 | ||||||
Government National Mortgage Association (IO) 0.777% due 03/20/71 § |
40,247,143 | 1,296,912 | ||||||
LHOME Mortgage Trust |
1,000,000 | 977,708 | ||||||
PRPM LLC |
||||||||
2.115% due 01/25/26 § ~ |
1,378,049 | 1,302,063 | ||||||
2.115% due 03/25/26 § ~ |
929,863 | 881,562 | ||||||
Seasoned Credit Risk Transfer Trust |
||||||||
2.000% due 05/25/60 |
5,383,012 | 4,538,383 | ||||||
3.000% due 05/25/60 |
10,739,948 | 9,894,102 | ||||||
3.250% due 11/25/61 |
1,674,240 | 1,509,016 |
Principal |
Value |
|||||||
3.500% due 11/25/57 |
$ 2,407,763 | $ 2,249,599 | ||||||
Towd Point Mortgage Trust |
||||||||
2.918% due 11/30/60 § ~ |
3,336,638 | 2,722,470 | ||||||
4.000% due 11/25/47 § ~ |
686,699 | 666,624 | ||||||
Trillion Capital III |
3,604,172 | 3,604,172 | ||||||
|
|
|||||||
63,667,066 | ||||||||
|
|
|||||||
Fannie Mae - 16.2% |
||||||||
0.970% due 07/01/27 |
5,640,504 | 4,942,096 | ||||||
1.090% due 04/01/28 |
2,889,000 | 2,494,439 | ||||||
1.275% due 04/01/30 |
3,628,535 | 3,004,235 | ||||||
1.370% due 03/01/30 |
3,598,381 | 3,020,150 | ||||||
1.410% due 12/01/30 |
10,170,000 | 8,320,730 | ||||||
1.440% due 01/01/31 |
1,400,000 | 1,146,111 | ||||||
1.460% due 12/01/30 |
5,000,000 | 4,107,404 | ||||||
1.560% due 01/01/31 |
2,700,000 | 2,232,051 | ||||||
1.754% due 03/01/32 § |
3,298,754 | 2,714,300 | ||||||
1.815% due 01/01/31 |
1,019,811 | 867,900 | ||||||
1.870% due 05/01/31 |
6,400,000 | 5,384,079 | ||||||
1.960% due 09/01/33 |
3,750,000 | 3,024,843 | ||||||
2.010% due 01/01/32 |
2,200,000 | 1,855,788 | ||||||
2.140% due 12/01/33 |
2,550,000 | 2,135,760 | ||||||
2.160% due 12/01/33 |
3,100,000 | 2,601,180 | ||||||
2.290% due 01/01/37 |
4,025,997 | 3,306,335 | ||||||
2.320% due 02/01/35 |
1,912,000 | 1,564,570 | ||||||
2.500% due 01/01/52 - 03/01/62 |
9,762,537 | 8,266,483 | ||||||
2.510% due 10/01/30 |
2,730,000 | 2,437,510 | ||||||
2.550% due 10/01/30 |
905,000 | 816,330 | ||||||
3.000% due 05/01/47 - 06/01/62 |
25,595,666 | 23,035,783 | ||||||
3.040% due 07/01/32 |
1,742,462 | 1,605,412 | ||||||
3.080% due 05/01/32 |
1,875,000 | 1,715,567 | ||||||
3.140% due 07/01/32 |
1,710,000 | 1,587,270 | ||||||
3.190% due 07/01/33 |
1,031,508 | 954,795 | ||||||
3.260% due 02/01/31 |
800,000 | 748,895 | ||||||
3.500% due 01/01/50 - 03/01/60 |
7,892,584 | 7,427,347 | ||||||
3.510% due 09/01/32 |
5,000,000 | 4,727,822 | ||||||
3.540% due 10/01/32 |
2,697,172 | 2,572,966 | ||||||
3.610% due 01/01/37 |
2,539,884 | 2,443,603 | ||||||
3.650% due 10/01/32 |
4,566,000 | 4,366,817 | ||||||
3.670% due 09/01/32 |
546,000 | 519,565 | ||||||
3.700% due 10/01/32 |
3,958,878 | 3,803,148 | ||||||
3.730% due 10/01/32 |
4,916,406 | 4,733,043 | ||||||
3.750% due 09/01/32 |
2,610,000 | 2,519,399 | ||||||
3.790% due 12/01/30 |
2,610,000 | 2,540,760 | ||||||
3.800% due 09/01/32 |
2,210,061 | 2,140,082 | ||||||
3.805% due 11/01/32 |
1,470,000 | 1,423,864 | ||||||
3.810% due 10/01/32 |
3,930,000 | 3,808,291 | ||||||
3.830% due 09/01/32 |
2,500,000 | 2,426,729 | ||||||
3.870% due 03/01/30 |
4,592,000 | 4,510,809 | ||||||
3.895% due 02/01/33 |
3,600,000 | 3,512,966 | ||||||
3.910% due 08/01/32 |
1,300,000 | 1,266,115 | ||||||
4.000% due 10/01/43 - 04/01/52 |
4,471,914 | 4,319,182 | ||||||
4.090% due 09/01/31 - 02/01/34 |
4,484,000 | 4,385,901 | ||||||
4.210% due 02/01/33 |
3,000,000 | 2,992,458 | ||||||
4.510% due 10/01/32 |
4,160,000 | 4,239,196 | ||||||
4.550% due 10/01/32 |
1,030,000 | 1,054,344 | ||||||
4.600% due 10/01/32 |
4,000,000 | 4,108,435 | ||||||
4.900% due 12/01/32 |
3,045,000 | 3,204,357 | ||||||
5.000% due 12/01/49 - 12/01/61 |
14,739,180 | 14,902,680 | ||||||
5.500% due 09/01/52 - 05/01/58 |
7,755,235 | 7,979,924 | ||||||
6.000% due 12/01/61 |
2,832,704 | 3,004,921 | ||||||
|
|
|||||||
198,824,740 | ||||||||
|
|
|||||||
Freddie Mac - 0.9% |
||||||||
3.000% due 10/01/51 - 02/01/52 |
4,870,794 | 4,412,526 | ||||||
3.500% due 04/01/37 |
1,256,961 | 1,216,021 | ||||||
3.700% due 06/01/34 |
5,000,000 | 4,757,028 | ||||||
|
|
|||||||
10,385,575 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
51
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Government National Mortgage Association - 7.0% |
| |||||||
2.500% due 10/20/45 - 10/20/50 |
$ 3,150,516 | $ 2,760,848 | ||||||
2.816% due 07/20/71 § |
2,551,689 | 2,294,129 | ||||||
2.930% due 10/20/70 § |
1,907,132 | 1,716,570 | ||||||
3.000% due 08/20/50 - 03/20/52 |
5,034,942 | 4,574,990 | ||||||
3.073% due 09/20/70 § |
5,716,569 | 5,244,342 | ||||||
3.093% due 12/20/71 § |
2,973,584 | 2,705,955 | ||||||
3.500% due 10/20/50 - 03/20/52 |
18,214,497 | 17,087,344 | ||||||
4.000% due 12/20/51 - 03/20/52 |
4,676,727 | 4,533,015 | ||||||
4.500% due 07/20/52 - 09/20/52 |
10,017,938 | 9,939,937 | ||||||
5.000% due 07/20/52 - 09/15/52 |
14,666,622 | 14,881,575 | ||||||
5.500% due 09/20/52 |
2,000,567 | 2,025,291 | ||||||
6.343% (UST + 1.705%) due 03/20/72 § |
2,002,138 | 2,084,842 | ||||||
6.374% (UST + 1.729%) due 02/20/72 § |
1,947,547 | 2,027,290 | ||||||
6.381% (UST + 1.735%) due 10/20/71 § |
2,518,835 | 2,618,179 | ||||||
6.449% (UST + 1.830%) due 07/20/72 § |
3,550,041 | 3,733,321 | ||||||
6.471% (UST + 1.836%) due 08/20/71 § |
2,345,134 | 2,448,868 | ||||||
6.565% (UST + 1.922%) due 08/20/72 § |
4,475,388 | 4,703,331 | ||||||
|
|
|||||||
85,379,827 | ||||||||
|
|
|||||||
Total Mortgage-Backed Securities |
402,406,442 | |||||||
|
|
|||||||
ASSET-BACKED SECURITIES - 13.3% |
||||||||
American Credit Acceptance Receivables Trust |
1,617,000 | 1,580,069 | ||||||
American Homes 4 Rent Trust |
2,135,000 | 2,104,301 | ||||||
AmeriCredit Automobile Receivables Trust 1.210% due 12/18/26 |
3,060,000 | 2,787,436 | ||||||
AMSR Trust |
||||||||
2.006% due 11/17/37 ~ |
2,120,000 | 1,922,424 | ||||||
2.327% due 10/17/38 ~ |
1,342,000 | 1,162,740 | ||||||
2.751% due 06/17/38 § ~ |
3,650,000 | 3,052,548 | ||||||
4.000% due 10/17/39 ~ |
3,000,000 | 2,568,809 | ||||||
Aqua Finance Trust |
1,225,000 | 1,048,932 | ||||||
Business Jet Securities LLC |
||||||||
2.918% due 04/15/36 ~ |
4,224,570 | 3,892,779 | ||||||
2.981% due 11/15/35 ~ |
1,063,267 | 1,008,788 | ||||||
Cars Net Lease Mortgage Notes |
425,163 | 378,466 | ||||||
Carvana Auto Receivables Trust |
2,366,300 | 2,334,944 | ||||||
Cascade MH Asset Trust |
||||||||
2.708% due 02/25/46 ~ |
1,420,000 | 1,095,788 | ||||||
4.250% due 08/25/54§ ~ |
3,396,565 | 3,023,371 | ||||||
CFIN Issuer LLC |
2,000,000 | 1,894,100 | ||||||
Consumer Receivables Asset Investment Trust |
567,381 | 570,277 | ||||||
Continental Finance Credit Card ABS Master Trust |
||||||||
2.240% due 12/15/28 ~ |
2,170,000 | 2,070,471 | ||||||
6.190% due 10/15/30 ~ |
2,870,000 | 2,795,307 | ||||||
Credit Acceptance Auto Loan Trust |
||||||||
1.640% due 06/17/30 ~ |
3,815,000 | 3,520,493 | ||||||
2.730% due 11/15/29 ~ |
2,500,000 | 2,437,263 |
Principal |
Value |
|||||||
Credito Real USA Auto Receivables Trust 1.350% due 02/16/27 ~ |
$ 251,048 | $ 246,696 | ||||||
Crossroads Asset Trust |
679,000 | 670,976 | ||||||
DataBank Issuer |
1,300,000 | 1,155,423 | ||||||
Diversified Abs Phase VI LLC |
1,910,684 | 1,862,917 | ||||||
Drive Auto Receivables Trust |
2,304,836 | 2,290,012 | ||||||
DT Auto Owner Trust |
||||||||
1.100% due 02/16/27 ~ |
1,155,000 | 1,108,701 | ||||||
2.960% due 04/15/25 ~ |
1,483,996 | 1,469,901 | ||||||
Exeter Automobile Receivables Trust |
3,400,000 | 3,366,641 | ||||||
FHF Trust |
166,065 | 159,540 | ||||||
FirstKey Homes Trust |
||||||||
2.389% due 08/17/38 ~ |
5,500,000 | 4,691,610 | ||||||
5.197% due 05/17/39 ~ |
915,000 | 867,265 | ||||||
Flagship Credit Auto Trust |
||||||||
2.180% due 02/16/27 ~ |
1,762,000 | 1,649,794 | ||||||
6.000% due 07/17/28 ~ |
3,148,000 | 3,107,830 | ||||||
FMC GMSR Issuer Trust |
||||||||
3.620% due 07/25/26 § ~ |
4,600,000 | 3,956,376 | ||||||
3.690% due 02/25/24 |
3,630,000 | 3,487,163 | ||||||
3.850% due 10/25/26 § ~ |
2,100,000 | 1,805,681 | ||||||
4.450% due 01/25/26 § ~ |
2,700,000 | 2,482,452 | ||||||
6.190% due 04/25/27 ~ |
3,000,000 | 2,805,839 | ||||||
7.900% due 07/25/27 ~ |
3,000,000 | 3,001,875 | ||||||
GLS Auto Receivables Issuer Trust |
||||||||
1.140% due 11/17/25 ~ |
536,606 | 529,271 | ||||||
1.640% due 10/15/26 ~ |
425,000 | 407,062 | ||||||
5.340% due 06/15/28 ~ |
1,889,000 | 1,865,994 | ||||||
6.420% due 06/15/28 ~ |
2,000,000 | 2,002,605 | ||||||
Hilton Grand Vacations Trust |
1,987,767 | 1,930,082 | ||||||
Jonah Energy Abs I LLC |
1,488,958 | 1,473,987 | ||||||
Jonah Energy LLC |
1,845,380 | 1,809,210 | ||||||
LendingPoint Asset Securitization Trust |
475,382 | 470,486 | ||||||
LFT CRE Ltd. |
2,590,000 | 2,483,870 | ||||||
LP LMS Asset Securitization Trust |
||||||||
1.750% due 01/15/29 ~ |
963,443 | 940,982 | ||||||
3.228% due 10/15/28 |
317,474 | 317,244 | ||||||
Mariner Finance Issuance Trust |
849,730 | 840,355 | ||||||
MVW LLC |
738,928 | 673,422 | ||||||
New Residential Mortgage Loan Trust |
2,537,000 | 2,164,701 | ||||||
NRZ Excess Spread-Collateralized Notes |
||||||||
2.981% due 03/25/26 ~ |
1,274,253 | 1,157,456 | ||||||
3.104% due 07/25/26 ~ |
3,071,529 | 2,767,393 | ||||||
3.228% due 05/25/26 ~ |
1,491,087 | 1,351,858 | ||||||
3.844% due 12/25/25 ~ |
1,027,327 | 960,061 | ||||||
Octane Receivables Trust |
||||||||
2.890% due 03/20/26 ~ |
2,600,000 | 2,500,196 | ||||||
6.290% due 07/20/28 ~ |
2,613,000 | 2,617,356 | ||||||
OneMain Financial Issuance Trust |
675,000 | 579,018 | ||||||
Pagaya AI Debt Selection Trust |
430,993 | 427,510 | ||||||
Pagaya AI Technology in Housing Trust |
3,000,000 | 2,881,424 | ||||||
PNMAC GMSR Issuer Trust |
1,730,000 | 1,731,895 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
52
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
PRET LLC |
$ 3,368,955 | $ 3,178,307 | ||||||
Pretium Mortgage Credit Partners I LLC |
1,834,548 | 1,749,095 | ||||||
Progress Residential Trust |
||||||||
2.106% due 04/17/38 ~ |
3,250,000 | 2,790,811 | ||||||
2.409% due 05/17/38 ~ |
1,570,000 | 1,370,673 | ||||||
2.425% due 07/17/38 ~ |
2,530,000 | 2,178,599 | ||||||
2.538% due 05/17/26 ~ |
1,650,000 | 1,439,553 | ||||||
2.547% due 04/19/38 ~ |
2,550,000 | 2,223,293 | ||||||
2.811% due 11/17/40 ~ |
1,000,000 | 826,654 | ||||||
5.200% due 04/17/39 ~ |
1,685,000 | 1,550,012 | ||||||
Regional Management Issuance Trust |
||||||||
1.680% due 03/17/31 ~ |
1,217,000 | 1,136,608 | ||||||
2.420% due 03/17/31 ~ |
895,000 | 798,252 | ||||||
3.800% due 10/15/30 ~ |
2,000,000 | 1,814,459 | ||||||
Santander Consumer Auto Receivables Trust |
1,400,000 | 1,288,130 | ||||||
Santander Drive Auto Receivables Trust |
1,539,000 | 1,516,282 | ||||||
SCF Equipment Leasing LLC |
2,055,000 | 1,847,346 | ||||||
Sierra Timeshare Receivables Funding LLC |
563,047 | 520,912 | ||||||
Tricolor Auto Securitization Trust |
815,000 | 796,314 | ||||||
United Auto Credit Securitization Trust |
850,000 | 831,872 | ||||||
Upstart Securitization Trust |
3,133,347 | 3,076,880 | ||||||
VCAT LLC |
1,418,177 | 1,359,030 | ||||||
VOLT XCII LLC |
660,189 | 606,834 | ||||||
VOLT XCIII LLC |
2,311,503 | 2,135,346 | ||||||
VOLT XCIV LLC |
1,617,138 | 1,520,806 | ||||||
VOLT XCIX LLC |
1,102,349 | 1,009,624 | ||||||
VOLT XCVI LLC |
1,288,908 | 1,216,458 | ||||||
VOLT XCVII LLC |
1,316,073 | 1,215,519 | ||||||
Westlake Automobile Receivables Trust |
||||||||
5.480% due 09/15/27 ~ |
3,300,000 | 3,231,140 | ||||||
6.680% due 04/17/28 ~ |
2,900,000 | 2,922,726 | ||||||
|
|
|||||||
Total Asset-Backed Securities |
162,470,971 | |||||||
|
|
|||||||
U.S. TREASURY OBLIGATIONS - 26.7% |
||||||||
U.S. Treasury Bonds - 11.1% |
||||||||
1.125% due 08/15/40 |
6,945,000 | 4,596,451 | ||||||
1.250% due 05/15/50 |
127,000 | 73,908 | ||||||
1.375% due 08/15/50 |
11,770,000 | 7,075,333 | ||||||
1.625% due 11/15/50 |
6,885,000 | 4,419,309 | ||||||
1.875% due 02/15/41 |
3,025,000 | 2,265,028 | ||||||
1.875% due 02/15/51 |
7,498,800 | 5,126,133 | ||||||
1.875% due 11/15/51 |
8,070,000 | 5,498,791 | ||||||
2.000% due 11/15/41 |
5,200,000 | 3,928,742 | ||||||
2.000% due 08/15/51 |
6,815,000 | 4,796,722 | ||||||
2.250% due 05/15/41 |
13,162,000 | 10,464,047 | ||||||
2.250% due 08/15/46 |
950,000 | 717,695 | ||||||
2.375% due 02/15/42 |
4,790,000 | 3,854,547 | ||||||
2.375% due 05/15/51 |
260,000 | 199,758 | ||||||
2.750% due 08/15/42 |
5,700,000 | 4,854,574 | ||||||
2.875% due 08/15/45 |
4,210,000 | 3,590,916 | ||||||
2.875% due 05/15/52 |
21,300,000 | 18,230,221 |
Principal |
Value |
|||||||
3.125% due 02/15/43 |
$ 368,000 | $ 331,193 | ||||||
3.250% due 05/15/42 |
43,715,000 | 40,357,824 | ||||||
3.625% due 02/15/53 |
11,500,000 | 11,420,039 | ||||||
3.875% due 08/15/40 |
2,000,000 | 2,052,813 | ||||||
4.250% due 05/15/39 |
2,000,000 | 2,159,453 | ||||||
|
|
|||||||
136,013,497 | ||||||||
|
|
|||||||
U.S. Treasury Notes - 15.6% |
||||||||
0.250% due 09/30/25 |
18,990,000 | 17,383,268 | ||||||
0.375% due 01/31/26 |
115,000 | 104,425 | ||||||
0.875% due 06/30/26 |
600,000 | 547,277 | ||||||
1.250% due 03/31/28 |
5,485,000 | 4,893,970 | ||||||
1.500% due 02/15/30 |
1,075,000 | 942,725 | ||||||
1.625% due 05/15/31 |
565,000 | 491,219 | ||||||
1.875% due 02/28/27 |
20,000,000 | 18,666,797 | ||||||
1.875% due 02/28/29 |
7,300,000 | 6,634,018 | ||||||
1.875% due 02/15/32 |
6,000,000 | 5,267,578 | ||||||
2.500% due 02/28/26 |
270,000 | 260,197 | ||||||
2.625% due 07/31/29 |
28,130,000 | 26,612,518 | ||||||
2.750% due 07/31/27 |
71,080,000 | 68,470,031 | ||||||
2.875% due 04/30/29 |
15,475,000 | 14,861,743 | ||||||
2.875% due 05/15/32 |
6,175,000 | 5,877,828 | ||||||
3.000% due 07/15/25 |
9,475,000 | 9,274,767 | ||||||
3.125% due 08/31/27 |
1,925,000 | 1,883,342 | ||||||
3.125% due 08/31/29 |
1,900,000 | 1,849,902 | ||||||
3.250% due 06/30/29 |
7,400,000 | 7,256,914 | ||||||
|
|
|||||||
191,278,519 | ||||||||
|
|
|||||||
Total U.S. Treasury Obligations |
327,292,016 | |||||||
|
|
|||||||
FOREIGN GOVERNMENT BONDS & NOTES - 0.4% |
| |||||||
Chile Government (Chile) |
272,000 | 232,871 | ||||||
Mexico Government (Mexico) |
||||||||
2.659% due 05/24/31 |
596,000 | 498,882 | ||||||
3.500% due 02/12/34 |
868,000 | 738,069 | ||||||
3.750% due 01/11/28 |
730,000 | 701,104 | ||||||
4.400% due 02/12/52 |
475,000 | 372,328 | ||||||
4.600% due 01/23/46 |
480,000 | 396,039 | ||||||
4.875% due 05/19/33 |
1,000,000 | 958,634 | ||||||
Panama Government (Panama) |
||||||||
3.160% due 01/23/30 |
480,000 | 422,494 | ||||||
4.500% due 04/16/50 |
415,000 | 317,118 | ||||||
Saudi Government (Saudi Arabia) |
338,000 | 278,152 | ||||||
|
|
|||||||
Total Foreign Government Bonds & Notes |
4,915,691 | |||||||
|
|
|||||||
MUNICIPAL BONDS - 0.3% |
||||||||
California State Build America Bonds |
1,000,000 | 1,249,295 | ||||||
Oklahoma Development Finance Authority |
445,000 | 431,867 | ||||||
Texas Natural Gas Securitization Finance Corp. |
|
|||||||
5.102% due 04/01/35 |
445,000 | 457,593 | ||||||
5.169% due 04/01/41 |
745,000 | 789,658 | ||||||
University of California |
675,000 | 459,201 | ||||||
|
|
|||||||
Total Municipal Bonds |
3,387,614 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
53
PACIFIC SELECT FUND
INTERMEDIATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 0.3% |
| |||||||
Repurchase Agreement - 0.3% |
| |||||||
Fixed Income Clearing Corp. |
$ 4,269,668 | $ 4,269,668 | ||||||
|
|
|||||||
Total Short-Term Investment |
|
4,269,668 | ||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.7% |
1,222,660,183 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.3% |
|
3,432,700 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
|
$1,226,092,883 | ||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $5,467,089 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Corporate Bonds & Notes |
$317,917,781 | $- | $317,917,781 | $- | |||||||||||||
Mortgage-Backed Securities |
402,406,442 | - | 398,802,270 | 3,604,172 | ||||||||||||||
Asset-Backed Securities |
162,470,971 | - | 160,608,054 | 1,862,917 | ||||||||||||||
U.S. Treasury Obligations |
327,292,016 | - | 327,292,016 | - | ||||||||||||||
Foreign Government Bonds & Notes |
4,915,691 | - | 4,915,691 | - | ||||||||||||||
Municipal Bonds |
3,387,614 | - | 3,387,614 | - | ||||||||||||||
Short-Term Investment |
4,269,668 | - | 4,269,668 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,222,660,183 | $- | $1,217,193,094 | $5,467,089 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
54
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 0.0% |
||||||||
Financial - 0.0% |
||||||||
CBL & Associates Properties, Inc. REIT |
9,021 | $231,298 | ||||||
|
|
|||||||
Total Common Stocks |
231,298 | |||||||
|
|
|||||||
Principal |
||||||||
CORPORATE BONDS & NOTES - 34.2% |
||||||||
Basic Materials - 0.2% |
||||||||
Syngenta Finance NV (Switzerland) |
$4,400,000 | 4,394,820 | ||||||
|
|
|||||||
Communications - 1.0% |
||||||||
AT&T, Inc. |
3,700,000 | 3,405,743 | ||||||
Charter Communications Operating LLC/Charter Communications Operating Capital |
7,500,000 | 4,685,685 | ||||||
Level 3 Financing, Inc. |
2,000,000 | 1,583,686 | ||||||
Lumen Technologies, Inc. |
2,600,000 | 1,718,379 | ||||||
SES SA (Luxembourg) |
800,000 | 800,000 | ||||||
Sprint LLC |
1,200,000 | 1,209,953 | ||||||
T-Mobile USA, Inc. |
||||||||
2.550% due 02/15/31 |
3,800,000 | 3,222,465 | ||||||
3.375% due 04/15/29 |
7,200,000 | 6,570,629 | ||||||
|
|
|||||||
23,196,540 | ||||||||
|
|
|||||||
Consumer, Cyclical - 3.2% |
||||||||
Air Canada Pass-Through Trust (Canada) |
1,510,435 | 1,406,023 | ||||||
Alaska Airlines Pass-Through Trust |
5,226,191 | 5,080,988 | ||||||
American Airlines Pass-Through Trust |
4,627,511 | 3,821,042 | ||||||
American Airlines Pass-Through Trust A |
||||||||
3.250% due 04/15/30 |
2,164,225 | 1,876,791 | ||||||
4.000% due 01/15/27 |
2,020,557 | 1,831,492 | ||||||
American Airlines Pass-Through Trust AA |
3,321,899 | 2,944,177 | ||||||
Daimler Truck Finance North America LLC (Germany) |
6,650,000 | 6,562,858 | ||||||
Ford Motor Credit Co. LLC |
||||||||
2.748% due 06/14/24 |
GBP 300,000 | 352,686 | ||||||
3.021% due 03/06/24 |
EUR 1,900,000 | 2,027,521 | ||||||
3.375% due 11/13/25 |
$2,300,000 | 2,158,814 | ||||||
Hyatt Hotels Corp. |
7,200,000 | 6,820,712 | ||||||
Hyundai Capital America |
7,200,000 | 6,377,558 | ||||||
JetBlue Pass-Through Trust Class A |
7,648,309 | 7,030,541 | ||||||
Nissan Motor Acceptance Co. LLC |
||||||||
2.750% due 03/09/28 ~ |
5,900,000 | 4,994,135 | ||||||
3.875% due 09/21/23 ~ |
3,400,000 | 3,362,463 |
Principal |
Value |
|||||||
Starbucks Corp. |
$9,700,000 | $8,446,871 | ||||||
Toyota Motor Credit Corp. |
3,300,000 | 3,300,604 | ||||||
United Airlines Pass-Through Trust |
4,317,364 | 3,648,060 | ||||||
Volkswagen Group of America Finance LLC (Germany) |
1,000,000 | 992,332 | ||||||
|
|
|||||||
73,035,668 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 3.4% |
||||||||
Amgen, Inc. |
3,700,000 | 3,803,400 | ||||||
Bacardi Ltd. (Bermuda) |
6,700,000 | 6,601,164 | ||||||
Bayer US Finance II LLC (Germany) |
7,400,000 | 7,158,150 | ||||||
Becton Dickinson & Co. |
7,900,000 | 6,505,348 | ||||||
Block Financial LLC |
6,600,000 | 5,680,491 | ||||||
CommonSpirit Health |
4,200,000 | 4,314,834 | ||||||
Constellation Brands, Inc. |
4,400,000 | 4,256,971 | ||||||
CVS Health Corp. |
3,500,000 | 2,863,353 | ||||||
CVS Pass-Through Trust |
144,513 | 149,043 | ||||||
Duke University |
9,600,000 | 7,277,733 | ||||||
Elevance Health, Inc. |
3,400,000 | 3,256,404 | ||||||
General Mills, Inc. |
1,000,000 | 1,003,884 | ||||||
HCA, Inc. |
7,300,000 | 6,598,400 | ||||||
Imperial Brands Finance PLC (United Kingdom) |
||||||||
3.125% due 07/26/24 ~ |
6,200,000 | 6,008,619 | ||||||
3.875% due 07/26/29 ~ |
3,300,000 | 2,971,089 | ||||||
Kenvue, Inc. |
2,400,000 | 2,481,675 | ||||||
Mylan, Inc. |
1,500,000 | 1,484,167 | ||||||
Zoetis, Inc. |
7,000,000 | 5,895,894 | ||||||
|
|
|||||||
78,310,619 | ||||||||
|
|
|||||||
Energy - 1.2% |
||||||||
Midwest Connector Capital Co. LLC |
4,100,000 | 4,029,374 | ||||||
Odebrecht Drilling Norbe VIII/IX Ltd. (Brazil) |
2,273,594 | 1,264,118 | ||||||
Odebrecht Oil & Gas Finance Ltd. (Brazil) |
1,012,000 | 1,012 | ||||||
Petroleos Mexicanos (Mexico) |
1,900,000 | 1,822,659 | ||||||
Pioneer Natural Resources Co. |
2,300,000 | 2,310,762 | ||||||
Rio Oil Finance Trust (Brazil) |
||||||||
9.250% due 07/06/24 ~ |
561,310 | 568,256 | ||||||
9.750% due 01/06/27 ~ |
3,082,382 | 3,194,935 | ||||||
Sabine Pass Liquefaction LLC |
6,800,000 | 6,562,566 | ||||||
Targa Resources Corp. |
6,600,000 | 6,549,465 | ||||||
|
|
|||||||
26,303,147 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
55
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Financial - 17.4% |
||||||||
AIB Group PLC (Ireland) |
$7,500,000 | $7,699,762 | ||||||
American Tower Corp. REIT |
||||||||
2.100% due 06/15/30 |
8,000,000 | 6,541,260 | ||||||
3.000% due 06/15/23 |
900,000 | 895,057 | ||||||
Aviation Capital Group LLC |
6,620,000 | 6,306,140 | ||||||
Banco Bilbao Vizcaya Argentaria SA (Spain) |
||||||||
0.875% due 09/18/23 |
2,100,000 | 2,052,712 | ||||||
1.125% due 09/18/25 |
3,400,000 | 3,065,027 | ||||||
Banco Espirito Santo SA (Portugal) |
||||||||
2.625% * Y ~ |
EUR 1,000,000 | 135,563 | ||||||
4.750% * Y ~ |
5,600,000 | 759,150 | ||||||
Bank of America Corp. |
$6,500,000 | 6,433,485 | ||||||
Bank of Ireland Group PLC (Ireland) |
6,400,000 | 6,368,105 | ||||||
Barclays PLC (United Kingdom) |
||||||||
3.375% due 04/02/25 ~ |
EUR 900,000 | 968,012 | ||||||
7.325% due 11/02/26 |
$4,100,000 | 4,202,651 | ||||||
7.385% due 11/02/28 |
4,000,000 | 4,243,373 | ||||||
BNP Paribas SA (France) |
||||||||
1.904% due 09/30/28 ~ |
3,600,000 | 3,064,439 | ||||||
3.132% due 01/20/33 ~ |
7,800,000 | 6,524,829 | ||||||
Citigroup, Inc. |
||||||||
2.572% due 06/03/31 |
8,100,000 | 6,838,763 | ||||||
3.070% due 02/24/28 |
4,200,000 | 3,908,941 | ||||||
Commonwealth Bank of Australia (Australia) |
2,900,000 | 2,690,270 | ||||||
Cooperatieve Rabobank UA (Netherlands) |
6,700,000 | 6,516,255 | ||||||
Credit Suisse AG (Switzerland) |
||||||||
6.500% due 08/08/23 ~ |
3,200,000 | 3,076,000 | ||||||
7.500% due 02/15/28 |
2,000,000 | 2,125,000 | ||||||
7.950% due 01/09/25 |
2,000,000 | 2,035,520 | ||||||
Credit Suisse Group AG (Switzerland) |
||||||||
3.869% due 01/12/29 ~ |
9,100,000 | 8,124,503 | ||||||
6.394% (USD LIBOR + 1.240%) |
6,200,000 | 6,046,389 | ||||||
6.537% due 08/12/33 ~ |
8,500,000 | 8,755,000 | ||||||
Crown Castle, Inc. REIT |
||||||||
2.250% due 01/15/31 |
7,900,000 | 6,551,421 | ||||||
3.700% due 06/15/26 |
2,277,000 | 2,196,523 | ||||||
CTP NV (Netherlands) |
EUR 2,100,000 | 1,905,513 | ||||||
CubeSmart LP REIT |
$3,200,000 | 2,572,096 | ||||||
Deutsche Bank AG (Germany) |
13,500,000 | 12,781,489 | ||||||
Digital Realty Trust LP REIT |
4,500,000 | 4,046,488 | ||||||
EPR Properties REIT |
2,200,000 | 2,125,799 | ||||||
Essex Portfolio LP REIT |
3,500,000 | 3,343,783 | ||||||
Federation des Caisses Desjardins du Quebec (Canada) |
7,000,000 | 6,832,562 | ||||||
GA Global Funding Trust |
7,000,000 | 6,790,029 | ||||||
GLP Capital LP/GLP Financing II, Inc. REIT |
1,800,000 | 1,598,364 | ||||||
Host Hotels & Resorts LP REIT |
||||||||
3.875% due 04/01/24 |
700,000 | 683,884 | ||||||
4.000% due 06/15/25 |
1,350,000 | 1,295,955 | ||||||
HSBC Holdings PLC (United Kingdom) |
8,500,000 | 9,054,121 | ||||||
HSBC USA, Inc. |
4,600,000 | 4,612,685 |
Principal |
Value |
|||||||
Intercontinental Exchange, Inc. |
$4,400,000 | $3,708,813 | ||||||
Intesa Sanpaolo SpA (Italy) |
7,300,000 | 7,015,949 | ||||||
JPMorgan Chase & Co. |
||||||||
1.578% due 04/22/27 |
7,000,000 | 6,294,604 | ||||||
4.851% due 07/25/28 |
4,800,000 | 4,795,426 | ||||||
4.912% due 07/25/33 |
6,400,000 | 6,366,916 | ||||||
5.546% due 12/15/25 |
5,100,000 | 5,137,689 | ||||||
KBC Group NV (Belgium) |
2,600,000 | 2,618,369 | ||||||
Kilroy Realty LP REIT |
2,600,000 | 2,358,950 | ||||||
Life Storage LP REIT |
||||||||
2.400% due 10/15/31 |
7,000,000 | 5,650,541 | ||||||
3.875% due 12/15/27 |
2,600,000 | 2,462,277 | ||||||
Lloyds Banking Group PLC (United Kingdom) |
||||||||
4.450% due 05/08/25 |
4,500,000 | 4,380,407 | ||||||
4.947% due 06/27/25 ~ |
EUR 300,000 | 294,706 | ||||||
Logicor Financing SARL (Luxembourg) |
2,300,000 | 1,747,459 | ||||||
Manulife Financial Corp. (Canada) |
$500,000 | 492,545 | ||||||
MassMutual Global Funding II |
4,000,000 | 4,052,449 | ||||||
Mid-America Apartments LP REIT |
3,000,000 | 2,920,233 | ||||||
Mitsubishi UFJ Financial Group, Inc. (Japan) |
||||||||
1.412% due 07/17/25 |
6,900,000 | 6,331,621 | ||||||
5.133% due 07/20/33 |
6,500,000 | 6,441,300 | ||||||
5.681% (SOFR + 0.940%) |
500,000 | 492,492 | ||||||
Mizuho Financial Group, Inc. (Japan) |
||||||||
2.201% due 07/10/31 |
8,700,000 | 7,046,628 | ||||||
5.414% due 09/13/28 |
3,800,000 | 3,819,247 | ||||||
Morgan Stanley |
||||||||
4.889% due 07/20/33 |
6,500,000 | 6,392,718 | ||||||
5.123% due 02/01/29 |
2,500,000 | 2,521,809 | ||||||
National Retail Properties, Inc. REIT |
5,600,000 | 5,276,320 | ||||||
Natwest Group PLC (United Kingdom) |
EUR 4,600,000 | 4,879,806 | ||||||
Nomura Holdings, Inc. (Japan) |
||||||||
2.172% due 07/14/28 |
$500,000 | 417,706 | ||||||
2.679% due 07/16/30 |
6,700,000 | 5,421,904 | ||||||
5.842% due 01/18/28 |
1,700,000 | 1,715,365 | ||||||
6.181% due 01/18/33 |
2,500,000 | 2,546,921 | ||||||
Omega Healthcare Investors, Inc. REIT |
||||||||
4.375% due 08/01/23 |
453,000 | 450,159 | ||||||
4.750% due 01/15/28 |
590,000 | 547,384 | ||||||
Pricoa Global Funding I |
4,500,000 | 4,419,914 | ||||||
Public Storage REIT |
1,100,000 | 1,035,563 | ||||||
Regency Centers LP REIT |
3,500,000 | 3,324,034 | ||||||
Santander Holdings USA, Inc. |
6,500,000 | 5,627,376 | ||||||
Scentre Group Trust 1/Scentre Group Trust 2 REIT (Australia) |
7,300,000 | 6,995,962 | ||||||
Societe Generale SA (France) |
||||||||
3.337% due 01/21/33 ~ |
8,000,000 | 6,443,887 | ||||||
4.250% due 09/14/23 ~ |
7,700,000 | 7,599,191 | ||||||
Spirit Realty LP REIT |
8,100,000 | 7,394,179 | ||||||
Standard Chartered PLC (United Kingdom) |
||||||||
1.456% due 01/14/27 ~ |
4,000,000 | 3,517,380 | ||||||
5.683% (SOFR + 0.930%) |
5,400,000 | 5,300,336 | ||||||
STORE Capital Corp. REIT |
7,600,000 | 6,814,558 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
56
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Sumitomo Mitsui Financial Group, Inc. (Japan) |
||||||||
1.902% due 09/17/28 |
$6,000,000 | $5,085,993 | ||||||
5.464% due 01/13/26 |
2,900,000 | 2,929,606 | ||||||
5.520% due 01/13/28 |
3,100,000 | 3,154,062 | ||||||
Synchrony Bank |
5,600,000 | 5,146,761 | ||||||
Synchrony Financial |
4,700,000 | 4,137,063 | ||||||
Tesco Property Finance 4 PLC (United Kingdom) |
GBP 185,911 | 228,213 | ||||||
Tesco Property Finance 5 PLC (United Kingdom) |
95,382 | 115,274 | ||||||
Truist Financial Corp. |
$6,000,000 | 5,987,543 | ||||||
UBS Group AG (Switzerland) |
2,800,000 | 2,777,254 | ||||||
UniCredit SpA (Italy) |
8,700,000 | 8,780,715 | ||||||
Virgin Money UK PLC (United Kingdom) |
GBP 500,000 | 566,350 | ||||||
Wells Fargo & Co. |
||||||||
2.393% due 06/02/28 |
$2,200,000 | 1,982,481 | ||||||
4.540% due 08/15/26 |
6,600,000 | 6,484,462 | ||||||
|
|
|||||||
396,213,788 | ||||||||
|
|
|||||||
Industrial - 2.0% |
||||||||
AP Moller - Maersk AS (Denmark) |
8,600,000 | 8,543,619 | ||||||
Boeing Co. |
3,500,000 | 3,382,547 | ||||||
Flex Ltd. |
7,900,000 | 7,692,177 | ||||||
Fortune Brands Innovations, Inc. |
8,200,000 | 7,306,947 | ||||||
GATX Corp. |
7,400,000 | 6,817,504 | ||||||
Kansas City Southern |
9,800,000 | 9,357,697 | ||||||
SMBC Aviation Capital Finance DAC (Ireland) |
1,800,000 | 1,788,267 | ||||||
|
|
|||||||
44,888,758 | ||||||||
|
|
|||||||
Technology - 2.0% |
||||||||
Amdocs Ltd. |
4,700,000 | 3,965,076 | ||||||
Broadcom, Inc. |
||||||||
2.600% due 02/15/33 ~ |
1,800,000 | 1,412,704 | ||||||
3.137% due 11/15/35 ~ |
7,388,000 | 5,687,560 | ||||||
3.187% due 11/15/36 ~ |
2,900,000 | 2,200,129 | ||||||
3.469% due 04/15/34 ~ |
3,639,000 | 2,991,456 | ||||||
Dell International LLC/EMC Corp. |
9,200,000 | 9,355,054 | ||||||
NXP BV/NXP Funding LLC/NXP USA, Inc. (China) |
||||||||
3.875% due 06/18/26 |
4,000,000 | 3,865,186 | ||||||
4.875% due 03/01/24 |
5,900,000 | 5,857,673 | ||||||
Open Text Corp. (Canada) |
8,100,000 | 8,363,250 | ||||||
Oracle Corp. |
2,700,000 | 2,877,122 | ||||||
|
|
|||||||
46,575,210 | ||||||||
|
|
|||||||
Utilities - 3.8% |
||||||||
DTE Electric Co. |
100,000 | 85,698 | ||||||
Enel Finance America LLC (Italy) |
2,900,000 | 3,119,142 |
Principal |
Value |
|||||||
Enel Finance International NV (Italy) |
$ | 7,500,000 | $5,878,208 | |||||
Entergy Louisiana LLC |
7,700,000 | 6,330,757 | ||||||
Evergy, Inc. |
8,800,000 | 8,434,888 | ||||||
National Rural Utilities Cooperative Finance Corp. |
2,600,000 | 2,627,165 | ||||||
New York State Electric & Gas Corp. |
7,200,000 | 5,781,736 | ||||||
NextEra Energy Capital Holdings, Inc. |
9,600,000 | 8,121,357 | ||||||
Pacific Gas & Electric Co. |
||||||||
1.700% due 11/15/23 |
3,300,000 | 3,220,100 | ||||||
3.500% due 06/15/25 |
2,400,000 | 2,290,037 | ||||||
5.450% due 06/15/27 |
6,800,000 | 6,738,894 | ||||||
Pennsylvania Electric Co. |
4,300,000 | 4,018,162 | ||||||
Public Service Co. of Colorado |
6,300,000 | 5,212,053 | ||||||
ReNew Wind Energy AP2/ReNew Power Pvt Ltd. other 9 Subsidiaries (India) |
5,900,000 | 4,960,588 | ||||||
SGSP Australia Assets Pty Ltd. (Australia) |
1,200,000 | 1,199,685 | ||||||
Southern California Edison Co. |
7,000,000 | 5,944,042 | ||||||
Southern Co. |
5,700,000 | 5,439,538 | ||||||
WEC Energy Group, Inc. |
8,400,000 | 6,808,454 | ||||||
|
|
|||||||
86,210,504 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
779,129,054 | |||||||
|
|
|||||||
MORTGAGE-BACKED SECURITIES - 55.8% |
| |||||||
Collateralized Mortgage Obligations - Commercial - 8.3% |
| |||||||
1211 Avenue of the Americas Trust |
9,600,000 | 8,987,962 | ||||||
Arbor Multifamily Mortgage Securities Trust |
4,900,000 | 4,200,156 | ||||||
AREIT LLC due 06/17/39 § ~ |
5,600,000 | 5,559,977 | ||||||
Ashford Hospitality Trust due 06/15/35 § ~ |
7,400,000 | 7,168,677 | ||||||
Atrium Hotel Portfolio Trust due 06/15/35 § ~ |
6,500,000 | 6,264,104 | ||||||
Austin Fairmont Hotel Trust due 09/15/32 § ~ |
4,500,000 | 4,407,387 | ||||||
BAMLL Commercial Mortgage Securities Trust due 09/15/38 § ~ |
7,000,000 | 6,541,544 | ||||||
BDS LLC due 08/19/38 § ~ |
6,500,000 | 6,506,975 | ||||||
Benchmark Mortgage Trust |
6,500,000 | 5,735,931 | ||||||
BX Commercial Mortgage Trust due 10/15/38 § ~ |
5,430,550 | 5,210,778 | ||||||
Cantor Commercial Real Estate Lending |
6,200,000 | 5,276,727 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
57
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
CFCRE Commercial Mortgage Trust |
$3,928,272 | $3,773,152 | ||||||
Citigroup Commercial Mortgage Trust |
||||||||
2.984% due 11/15/49 |
5,376,416 | 5,165,975 | ||||||
3.778% due 09/10/58 |
5,900,000 | 5,662,084 | ||||||
CLNC Ltd. (Cayman) |
2,485,800 | 2,457,081 | ||||||
DBGS Mortgage Trust |
8,700,000 | 7,407,241 | ||||||
DBWF Mortgage Trust |
6,600,000 | 6,483,012 | ||||||
DOLP Trust |
7,000,000 | 5,596,970 | ||||||
Extended Stay America Trust |
6,833,346 | 6,633,715 | ||||||
GS Mortgage Securities Corp. II |
6,700,000 | 6,671,320 | ||||||
GS Mortgage Securities Trust |
7,000,000 | 5,659,419 | ||||||
JP Morgan Chase Commercial Mortgage Securities Trust |
||||||||
5.934% (USD LIBOR + 1.250%) due 09/15/29 § ~ |
2,409,756 | 2,232,396 | ||||||
6.134% (USD LIBOR + 1.450%) due 12/15/31 § ~ |
5,461,346 | 5,212,298 | ||||||
Manhattan West 2020-1MW Mortgage Trust |
8,600,000 | 7,414,310 | ||||||
MF1 Multifamily Housing Mortgage Loan Trust |
3,435,709 | 3,375,470 | ||||||
Morgan Stanley Bank of America Merrill Lynch Trust |
2,284,358 | 2,221,170 | ||||||
Morgan Stanley Capital I Trust |
4,900,000 | 3,843,105 | ||||||
NYO Commercial Mortgage Trust |
11,200,000 | 10,293,182 | ||||||
One New York Plaza Trust |
3,780,000 | 3,627,664 | ||||||
PFP Ltd. (Bermuda) |
6,400,000 | 6,362,688 | ||||||
Ready Capital Mortgage Financing LLC 7.358% (SOFR + 2.552%) |
6,091,339 | 6,058,160 | ||||||
STWD Ltd. (Cayman) |
5,654,182 | 5,630,130 | ||||||
STWD Mortgage Trust (Cayman) |
7,100,000 | 6,831,822 | ||||||
Wells Fargo Commercial Mortgage Trust |
4,837,000 | 4,635,602 | ||||||
|
|
|||||||
189,108,184 | ||||||||
|
|
|||||||
Collateralized Mortgage Obligations - Residential - 8.5% |
| |||||||
Alternative Loan Trust (IO) |
||||||||
0.155% (5.000% - USD LIBOR) due 05/25/35 § |
645,534 | 31,909 | ||||||
Alternative Loan Trust |
||||||||
5.465% (USD LIBOR + 0.620%) due 10/25/35 § |
5,456 | 5,343 | ||||||
Banc of America Funding Trust |
||||||||
3.011% due 08/25/47 § ~ |
3,395,971 | 2,362,921 | ||||||
4.160% due 02/20/36 § |
237,362 | 216,393 |
Principal |
Value |
|||||||
Banc of America Mortgage Trust |
$1,833,628 | $1,439,710 | ||||||
BCAP LLC Trust |
||||||||
4.604% due 03/26/37 § ~ |
136,723 | 133,229 | ||||||
5.250% due 02/26/36 § ~ |
959,489 | 433,969 | ||||||
Bear Stearns Adjustable Rate Mortgage Trust |
456,972 | 416,963 | ||||||
Bear Stearns ALT-A Trust |
1,033,032 | 957,288 | ||||||
Bear Stearns Structured Products, Inc. Trust |
||||||||
3.649% due 12/26/46 § |
401,151 | 270,694 | ||||||
3.947% due 01/26/36 § |
460,720 | 338,096 | ||||||
CHL Mortgage Pass-Through Trust |
||||||||
4.221% due 05/20/34 § |
336,589 | 302,120 | ||||||
5.485% (USD LIBOR + 0.640%) due 03/25/35 § |
386,361 | 340,797 | ||||||
6.500% due 10/25/37 |
744,447 | 364,923 | ||||||
Citigroup Mortgage Loan Trust |
398,353 | 343,988 | ||||||
Citigroup Mortgage Loan Trust, Inc. |
68,214 | 55,262 | ||||||
Credit Suisse First Boston Mortgage Securities Corp. (Switzerland) |
79,915 | 72,475 | ||||||
DSLA Mortgage Loan Trust |
277,445 | 245,805 | ||||||
Fannie Mae REMICS |
||||||||
4.677% (USD LIBOR + 0.060%) due 07/25/37 § |
50,512 | 49,501 | ||||||
5.159% due 10/25/42 § |
333,017 | 338,264 | ||||||
5.161% (USD LIBOR + 0.400%) due 04/18/28 § |
11,804 | 11,786 | ||||||
5.211% (USD LIBOR + 0.450%) due 10/18/30 § |
163 | 163 | ||||||
5.225% (USD LIBOR + 0.380%) due 11/25/42 § |
1,168,689 | 1,150,888 | ||||||
Fannie Mae REMICS (IO) |
1,497 | 150 | ||||||
Finsbury Square PLC (United Kingdom) |
GBP 2,120,485 | 2,619,731 | ||||||
First Horizon Alternative Mortgage Securities Trust |
||||||||
4.432% due 03/25/35 § |
$369,981 | 226,159 | ||||||
4.863% due 06/25/34 § |
1,240,017 | 1,138,550 | ||||||
Freddie Mac 7.500% due 09/20/26 |
20,526 | 20,939 | ||||||
Freddie Mac REMICS |
||||||||
3.655% (USD LIBOR + 0.350%) due 08/15/40 § |
2,379,354 | 2,323,754 | ||||||
3.666% (USD LIBOR + 0.350%) due 10/15/40 § |
2,334,825 | 2,283,131 | ||||||
4.874% (USD LIBOR + 0.190%) due 10/15/43 § |
2,643,642 | 2,571,764 | ||||||
5.034% (USD LIBOR + 0.350%) due 12/15/29 § |
4,131 | 4,107 | ||||||
Freddie Mac Structured Pass-Through Certificates |
||||||||
4.338% (US FED + 1.200%) due 10/25/44 § |
501,792 | 468,875 | ||||||
4.538% (US FED + 1.400%) due 07/25/44 § |
2,395,790 | 2,264,762 | ||||||
Government National Mortgage Association |
||||||||
5.059% (SOFR + 0.500%) due 01/20/72 § |
2,577,069 | 2,520,027 | ||||||
5.359% (SOFR + 0.800%) due 01/20/73 § |
4,527,542 | 4,506,403 | ||||||
5.439% (SOFR + 0.880%) due 02/20/73 § |
5,110,443 | 5,111,011 | ||||||
5.459% (SOFR + 0.900%) due 01/20/73 § |
7,532,708 | 7,541,486 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
58
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Government National Mortgage Association REMICS |
||||||||
1.968% (USD LIBOR + 0.750%) due 04/20/67 § |
$4,591,986 | $4,589,376 | ||||||
5.066% (USD LIBOR + 0.500%) due 04/20/64 § |
1,486,007 | 1,480,877 | ||||||
5.116% (USD LIBOR + 0.550%) due 05/20/65 § |
895,104 | 886,157 | ||||||
5.166% (USD LIBOR + 0.600%) due 07/20/65 - 08/20/65 § |
5,689,813 | 5,629,901 | ||||||
5.280% (SOFR + 0.880%) due 03/20/73 § |
5,000,000 | 4,999,469 | ||||||
5.309% (SOFR + 0.750%) due 10/20/72 § |
5,215,617 | 5,193,931 | ||||||
5.316% (USD LIBOR + 0.750%) due 01/20/66 § |
3,898,655 | 3,852,966 | ||||||
5.579% (SOFR + 1.020%) due 12/20/72 § |
3,122,925 | 3,150,481 | ||||||
Great Hall Mortgages No 1 PLC (United Kingdom) |
1,407,635 | 1,389,975 | ||||||
GreenPoint Mortgage Funding Trust |
29,169 | 26,141 | ||||||
GS Mortgage-Backed Securities Corp. Trust |
6,412,604 | 5,220,215 | ||||||
HarborView Mortgage Loan Trust |
657,246 | 508,565 | ||||||
Impac CMB Trust |
24,700 | 22,307 | ||||||
IndyMac ARM Trust |
6,563 | 5,982 | ||||||
JP Morgan Alternative Loan Trust |
||||||||
5.205% (USD LIBOR + 0.360%) due 05/25/36 § |
1,910,166 | 1,542,943 | ||||||
6.000% due 12/27/36 ~ |
896,486 | 501,715 | ||||||
JP Morgan Mortgage Trust |
||||||||
3.759% due 12/26/37 § ~ |
3,177,791 | 2,667,325 | ||||||
5.145% (USD LIBOR + 0.300%) due 10/25/35 § |
1,086,701 | 774,022 | ||||||
Legacy Mortgage Asset Trust |
5,439,460 | 5,438,523 | ||||||
Lehman Mortgage Trust |
4,972,134 | 3,507,759 | ||||||
MASTR Adjustable Rate Mortgages Trust |
7,464 | 7,058 | ||||||
MASTR Alternative Loan Trust |
690,416 | 72,276 | ||||||
Merrill Lynch Mortgage Investors Trust |
14,796 | 13,573 | ||||||
Metlife Securitization Trust |
4,558,693 | 4,314,718 | ||||||
New Residential Mortgage Loan Trust |
||||||||
3.000% due 03/25/52 § ~ |
6,486,555 | 5,508,073 | ||||||
3.500% due 12/25/57 § ~ |
3,859,451 | 3,652,693 | ||||||
OBX Trust |
||||||||
5.495% (USD LIBOR + 0.650%) due 06/25/57 § ~ |
3,971,944 | 3,718,481 | ||||||
6.120% due 11/25/62 § ~ |
4,892,628 | 4,901,168 | ||||||
PHH Alternative Mortgage Trust |
6,837,255 | 4,700,403 | ||||||
RBSSP Resecuritization Trust |
632,041 | 239,256 | ||||||
Reperforming Loan REMIC Trust |
903,537 | 823,474 | ||||||
Residential Asset Securitization Trust (IO) |
1,788,545 | 134,012 |
Principal |
Value |
|||||||
Resloc UK PLC (United Kingdom) |
EUR 1,733,998 | $1,782,177 | ||||||
RFMSI Trust |
$366,227 | 225,993 | ||||||
Ripon Mortgages PLC (United Kingdom) |
GBP 8,128,564 | 9,962,955 | ||||||
RMAC Securities No. 1 PLC (United Kingdom) |
3,630,850 | 4,169,115 | ||||||
Seasoned Credit Risk Transfer Trust |
$2,988,505 | 2,115,272 | ||||||
Sequoia Mortgage Trust |
222,673 | 199,023 | ||||||
Structured Adjustable Rate Mortgage Loan Trust |
50,058 | 49,242 | ||||||
Structured Asset Mortgage Investments II Trust |
||||||||
5.261% (USD LIBOR + 0.500%) due 07/19/35 § |
66,637 | 60,765 | ||||||
5.265% (USD LIBOR + 0.420%) due 05/25/36 § |
385,645 | 251,681 | ||||||
5.305% (USD LIBOR + 0.460%) due 02/25/36 § |
589,049 | 479,588 | ||||||
5.405% (USD LIBOR + 0.560%) due 02/25/36 § |
361,357 | 295,046 | ||||||
Structured Asset Mortgage Investments Trust |
14,856 | 14,011 | ||||||
Structured Asset Securities Corp. Trust |
2,355,662 | 1,417,563 | ||||||
Suntrust Alternative Loan Trust (IO) |
2,056,308 | 80,202 | ||||||
Towd Point Mortgage Funding (United Kingdom) |
GBP 18,250,638 | 22,424,189 | ||||||
Towd Point Mortgage Funding PLC (United Kingdom) |
7,950,963 | 9,820,033 | ||||||
UWM Mortgage Trust |
||||||||
2.500% due 11/25/51 § ~ |
$6,322,010 | 5,146,466 | ||||||
2.500% due 12/25/51 § ~ |
6,385,444 | 5,198,105 | ||||||
Verus Securitization Trust |
4,947,657 | 4,911,643 | ||||||
Wachovia Mortgage Loan Trust LLC Trust |
60,512 | 57,964 | ||||||
WaMu Mortgage Pass-Through Certificates Trust |
||||||||
3.979% due 01/25/36 § |
336,739 | 298,113 | ||||||
5.385% (USD LIBOR + 0.540%) due 12/25/45 § |
18,572 | 17,054 | ||||||
5.425% (USD LIBOR + 0.580%) due 10/25/45 § |
17,883 | 16,411 | ||||||
Washington Mutual Mortgage Pass-Through Certificates Trust |
||||||||
3.968% (US FED + 0.830%) due 11/25/46 § |
892,433 | 728,888 | ||||||
6.000% due 07/25/36 |
1,195,354 | 892,375 | ||||||
Washington Mutual Mortgage Pass-Through Certificates Trust (IO) |
||||||||
0.005% (4.850% - USD LIBOR) due 11/25/35 § |
6,726,356 | 327,510 | ||||||
0.105% (4.950% - USD LIBOR) due 11/25/35 § |
1,997,139 | 134,512 | ||||||
Washington Mutual MSC Mortgage Pass-Through Certificates Trust |
1,760 | 1,638 | ||||||
|
|
|||||||
194,034,685 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
59
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Fannie Mae - 37.3% |
| |||||||
due 02/25/52 # |
$230,600,000 | $207,142,261 | ||||||
due 05/12/52 # |
78,000,000 | 76,448,449 | ||||||
due 04/13/53 # |
300,000 | 269,201 | ||||||
due 04/13/53 # |
23,200,000 | 23,681,219 | ||||||
due 04/13/53 # |
88,400,000 | 82,146,390 | ||||||
due 04/13/53 # |
92,000,000 | 87,996,913 | ||||||
due 04/13/53 # |
61,100,000 | 60,942,477 | ||||||
due 05/11/53 # |
900,000 | 918,105 | ||||||
due 05/11/53 # |
14,000,000 | 14,423,281 | ||||||
due 05/11/53 # |
66,700,000 | 67,357,880 | ||||||
due 05/11/53 # |
99,300,000 | 99,032,355 | ||||||
2.830% (USD LIBOR + 1.455%) due 04/01/35 § |
64,054 | 62,507 | ||||||
2.855% (US FED + 1.270%) due 03/01/33 § |
79,504 | 76,690 | ||||||
3.000% due 04/01/27 - 08/01/52 |
43,101,201 | 38,789,676 | ||||||
3.000% due 08/01/52 |
28,317,821 | 25,452,593 | ||||||
3.000% due 09/01/52 |
53,457,228 | 48,041,917 | ||||||
3.055% (UST + 2.055%) due 04/01/34 § |
41,688 | 41,237 | ||||||
3.095% (UST + 2.095%) due 04/01/27 § |
486 | 479 | ||||||
3.416% (UST + 2.068%) due 03/01/34 § |
2,015 | 1,961 | ||||||
3.500% due 05/01/33 - 05/01/35 |
6,997,568 | 6,807,864 | ||||||
3.505% (USD LIBOR + 1.255%) due 07/01/35 § |
126,084 | 125,243 | ||||||
3.560% (USD LIBOR + 1.318%) due 08/01/35 § |
98,831 | 96,878 | ||||||
3.585% (USD LIBOR + 1.335%) due 12/01/34 § |
237,329 | 233,368 | ||||||
3.663% (USD LIBOR + 1.413%) due 07/01/33 § |
7,270 | 7,081 | ||||||
3.663% (USD LIBOR + 1.538%) due 01/01/36 § |
5,310 | 5,188 | ||||||
3.668% (USD LIBOR + 1.418%) due 12/01/34 § |
2,290 | 2,239 | ||||||
3.691% (USD LIBOR + 1.373%) due 09/01/35 § |
33,109 | 32,304 | ||||||
3.738% (US FED + 1.255%) due 05/01/36 § |
8,764 | 8,486 | ||||||
3.820% (UST + 1.695%) due 02/01/33 § |
135,852 | 133,991 | ||||||
3.993% (US FED + 1.200%) due 08/01/42 - 10/01/44 § |
397,508 | 378,867 | ||||||
4.000% due 04/01/24 - 02/01/48 |
2,597,224 | 2,537,583 | ||||||
4.000% (USD LIBOR + 2.250%) due 06/01/34 § |
1,705 | 1,666 | ||||||
4.050% (UST + 1.925%) due 02/01/33 § |
1,888 | 1,842 | ||||||
4.090% (USD LIBOR + 1.840%) due 09/01/35 § |
14,732 | 14,549 | ||||||
4.110% (US FED + 1.255%) due 05/01/36 § |
272,119 | 265,887 | ||||||
4.150% (UST + 2.025%) due 01/01/34 § |
3,770 | 3,826 | ||||||
4.171% (US FED + 1.259%) due 05/01/36 § |
6,336 | 6,251 | ||||||
4.320% (USD LIBOR + 1.694%) due 03/01/33 § |
2,070 | 2,032 | ||||||
4.395% (UST + 2.360%) due 11/01/34 § |
739,638 | 759,807 | ||||||
4.500% due 06/01/23 - 10/01/42 |
301,035 | 302,146 | ||||||
5.000% due 05/01/25 - 02/01/44 |
1,255,989 | 1,273,180 | ||||||
5.136% (US FED + 1.731%) due 09/01/34 § |
22,788 | 23,137 |
Principal |
Value |
|||||||
5.213% (USD LIBOR + 1.550%) due 09/01/33 § |
$9,836 | $9,880 | ||||||
5.500% due 05/01/23 - 09/01/41 |
2,450,738 | 2,528,482 | ||||||
5.730% (USD LIBOR + 1.605%) due 08/01/36 § |
17,059 | 17,035 | ||||||
6.000% due 02/01/24 - 09/01/39 |
1,348,587 | 1,394,633 | ||||||
6.500% due 09/01/28 - 05/11/53 |
235,087 | 243,888 | ||||||
7.500% due 01/01/33 |
7,437 | 7,757 | ||||||
8.000% due 05/01/30 |
1,378 | 1,385 | ||||||
|
|
|||||||
850,052,066 | ||||||||
|
|
|||||||
Freddie Mac - 1.4% |
| |||||||
3.000% due 04/01/27 - 08/01/52 |
395,406 | 355,272 | ||||||
3.000% due 04/01/52 - 08/01/52 |
24,856,432 | 22,342,893 | ||||||
3.235% (UST + 2.249%) due 03/01/32 § |
10,418 | 10,172 | ||||||
3.500% due 08/01/27 - 06/01/48 |
6,318,594 | 5,965,582 | ||||||
3.586% (USD LIBOR + 1.345%) due 09/01/35 § |
68,651 | 68,621 | ||||||
4.000% (UST + 2.250%) due 07/01/32 § |
6,064 | 5,963 | ||||||
4.000% due 11/01/33 - 04/01/48 |
1,569,978 | 1,541,276 | ||||||
4.262% (UST + 2.137%) due 01/01/28 § |
2,136 | 2,083 | ||||||
2.624% (UST + 2.249%) due 03/01/32 § |
14,084 | 13,805 | ||||||
5.500% due 06/01/23 - 05/01/40 |
2,144,830 | 2,226,033 | ||||||
6.000% due 05/01/29 |
4,638 | 4,739 | ||||||
7.000% due 10/01/37 |
10,549 | 11,129 | ||||||
|
|
|||||||
32,547,568 | ||||||||
|
|
|||||||
Government National Mortgage Association - 0.3% |
| |||||||
2.625% (UST + 1.500%) due 07/20/23 - 03/20/33 § |
187,479 | 184,255 | ||||||
2.750% (UST + 1.500%) due 10/20/23 - 12/20/32 § |
85,191 | 83,050 | ||||||
2.875% (UST + 1.500%) due 04/20/24 - 06/20/32 § |
123,656 | 122,226 | ||||||
3.000% (UST + 1.500%) due 10/20/24 - 09/20/30 § |
14,495 | 14,143 | ||||||
3.125% (UST + 2.000%) due 03/20/29 § |
18,212 | 18,010 | ||||||
3.500% (UST + 1.500%) due 11/20/24 § |
2,102 | 2,070 | ||||||
3.500% (UST + 2.000%) due 11/20/24 § |
5,796 | 5,695 | ||||||
4.000% due 03/15/44 - 09/15/49 |
932,038 | 889,231 | ||||||
5.000% due 05/15/33 - 07/20/49 |
4,647,017 | 4,772,654 | ||||||
6.000% due 06/15/38 - 09/15/38 |
4,544 | 4,657 | ||||||
7.500% due 07/15/31 - 12/15/31 |
12,577 | 13,402 | ||||||
8.000% due 12/15/29 - 08/15/32 |
118,608 | 121,219 | ||||||
8.500% due 09/15/29 - 12/15/30 |
111,708 | 111,951 | ||||||
|
|
|||||||
6,342,563 | ||||||||
|
|
|||||||
Total Mortgage-Backed Securities |
|
1,272,085,066 | ||||||
|
|
|||||||
ASSET-BACKED SECURITIES - 14.8% |
| |||||||
ABFC Trust |
4,626,799 | 4,191,333 | ||||||
ACAS CLO Ltd. (Cayman) |
6,039,054 | 5,970,386 | ||||||
Apres Static CLO Ltd. (Cayman) |
2,301,169 | 2,290,231 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
60
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Ares XL CLO Ltd. (Cayman) |
$5,349,782 | $5,306,211 | ||||||
Argent Securities, Inc. Asset-Backed Pass-Through Certificates |
1,564,780 | 1,180,312 | ||||||
Asset-Backed Securities Corp. Home Equity Loan Trust |
2,000,000 | 1,892,146 | ||||||
Avoca CLO XVII DAC (Netherlands) |
EUR 6,000,000 | 6,345,951 | ||||||
Benefit Street Partners CLO XVI Ltd. (Cayman) |
$7,000,000 | 6,895,000 | ||||||
Benefit Street Partners CLO XVII Ltd. (Cayman) |
7,000,000 | 6,889,420 | ||||||
BSPDF Issuer Ltd. (Cayman) |
7,000,000 | 6,895,154 | ||||||
Catamaran CLO Ltd. (Cayman) |
8,541,718 | 8,448,751 | ||||||
CIT Mortgage Loan Trust |
407,128 | 405,637 | ||||||
Citigroup Mortgage Loan Trust |
||||||||
4.995% (USD LIBOR + 0.150%) due 12/25/36 § |
8,894,782 | 3,730,335 | ||||||
5.005% (USD LIBOR + 0.160%) due 12/25/36 § ~ |
1,847,460 | 1,033,439 | ||||||
Countrywide Asset-Backed Certificates |
1,308,071 | 1,076,259 | ||||||
CVC Cordatus Loan Fund XI DAC (Ireland) 2.938% (EUR LIBOR + 0.650%) |
EUR 6,100,000 | 6,452,424 | ||||||
CWABS Asset-Backed Certificates Trust |
||||||||
4.985% (USD LIBOR + 0.140%) due 06/25/47 § |
$4,609,583 | 4,078,747 | ||||||
5.075% (USD LIBOR + 0.230%) due 10/25/47 § |
285,376 | 279,870 | ||||||
5.125% (USD LIBOR + 0.280%) due 03/25/37 § |
2,156,305 | 2,065,384 | ||||||
Delta Funding Home Equity Loan Trust |
1 | 1 | ||||||
Discover Card Execution Note Trust |
6,600,000 | 6,599,395 | ||||||
DLLAD LLC |
4,100,000 | 4,086,352 | ||||||
Dryden 52 Euro CLO DAC (Ireland) |
EUR 5,600,000 | 5,936,552 | ||||||
FBR Securitization Trust |
$28,530,000 | 27,537,273 | ||||||
First Franklin Mortgage Loan Trust |
13,900,000 | 10,974,311 | ||||||
GLS Auto Receivables Issuer Trust |
4,208,650 | 4,164,646 | ||||||
GSAA Home Equity Trust |
8,579,210 | 2,055,381 |
Principal |
Value |
|||||||
Halseypoint CLO II Ltd. (Cayman) |
$6,742,868 | $6,665,325 | ||||||
Harvest CLO XI DAC (Ireland) |
EUR 5,513,967 | 5,844,631 | ||||||
Home Equity Asset Trust |
$1,351,582 | 1,336,317 | ||||||
Home Equity Mortgage Loan Asset-Backed Trust |
3,582,166 | 3,032,289 | ||||||
HSI Asset Securitization Corp. Trust |
451,879 | 422,075 | ||||||
Imc Home Equity Loan Trust |
432 | 412 | ||||||
IXIS Real Estate Capital Trust |
10,245,556 | 3,961,946 | ||||||
JP Morgan Mortgage Acquisition Trust |
9,911,186 | 9,478,257 | ||||||
LCCM CLO Trust |
8,000,000 | 7,770,656 | ||||||
LCM CLO XIII LP (Cayman) |
4,432,821 | 4,404,083 | ||||||
LCM CLO XXIV Ltd. (Cayman) |
712,059 | 702,817 | ||||||
LCM CLO XXV Ltd. (Cayman) |
6,685,859 | 6,607,300 | ||||||
Lehman ABS Mortgage Loan CLO Trust |
792,199 | 555,313 | ||||||
LFT CRE CLO Ltd. |
7,000,000 | 6,900,061 | ||||||
Magnetite CLO XVIII Ltd. (Cayman) |
6,387,354 | 6,326,675 | ||||||
Marble Point CLO X Ltd. (Cayman) |
7,019,437 | 6,935,091 | ||||||
Mastr Asset-Backed Securities Trust |
7,346,293 | 1,930,635 | ||||||
Merrill Lynch Mortgage Investors Trust |
906,803 | 845,085 | ||||||
MKS CLO Ltd. (Cayman) |
4,817,021 | 4,752,503 | ||||||
Morgan Stanley ABS Capital I, Inc. Trust |
||||||||
4.905% (USD LIBOR + 0.060%) due 05/25/37 § |
144,313 | 126,292 | ||||||
5.025% (USD LIBOR + 0.180%) due 03/25/37 § |
2,335,223 | 1,044,477 | ||||||
5.025% (USD LIBOR + 0.180%) due 05/25/37 § |
6,311,214 | 5,544,200 | ||||||
5.065% (USD LIBOR + 0.220%) due 11/25/36 § |
5,517,262 | 2,720,158 | ||||||
5.095% (USD LIBOR + 0.250%) due 03/25/37 § |
3,910,140 | 1,751,475 | ||||||
Morgan Stanley Capital I, Inc. Trust |
1,514,131 | 1,224,564 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
61
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Option One Mortgage Loan Trust |
||||||||
4.985% (USD LIBOR + 0.140%) due 02/25/37 § |
$4,236,155 | $2,839,168 | ||||||
5.065% (USD LIBOR + 0.220%) due 02/25/37 § |
11,730,203 | 5,971,910 | ||||||
OZLM VI Ltd. (Cayman) |
6,108,258 | 6,016,786 | ||||||
OZLM VIII Ltd. (Cayman) |
6,489,619 | 6,424,723 | ||||||
Park Place Securities, Inc. Asset-Backed Pass-Through Certificates |
6,700,000 | 6,186,832 | ||||||
RAAC Trust |
1,553,694 | 1,503,095 | ||||||
Renaissance Home Equity Loan Trust |
137,201 | 124,118 | ||||||
Santander Drive Auto Receivables Trust |
||||||||
3.980% due 01/15/25 |
4,231,415 | 4,220,306 | ||||||
4.370% due 05/15/25 |
5,804,871 | 5,789,773 | ||||||
Saranac CLO VI Ltd. (Jersey) |
6,800,000 | 6,729,671 | ||||||
Saxon Asset Securities Trust |
2,364,242 | 2,226,226 | ||||||
Securitized Asset-Backed Receivables LLC Trust |
3,570,631 | 2,727,841 | ||||||
Sound Point CLO XVI Ltd. (Cayman) |
6,952,056 | 6,859,190 | ||||||
Sound Point CLO XVII Ltd. (Cayman) |
5,060,000 | 4,983,015 | ||||||
Soundview Home Loan Trust |
1,404,267 | 399,997 | ||||||
Stratus CLO Ltd. (Cayman) |
5,975,347 | 5,924,873 | ||||||
Structured Asset Investment Loan Trust |
4,568,639 | 4,091,924 | ||||||
Structured Asset Securities Corp. Mortgage Loan Trust |
||||||||
5.115% (USD LIBOR + 0.270%) due 03/25/36 § |
1,322,981 | 1,208,037 | ||||||
5.185% (USD LIBOR + 0.340%) due 12/25/36 § |
184,325 | 177,647 | ||||||
Terwin Mortgage Trust |
160,692 | 153,651 | ||||||
THL Credit Wind River CLO Ltd. (Cayman) |
7,000,000 | 6,860,000 | ||||||
Tikehau CLO DAC (Ireland) |
EUR 6,000,000 | 6,334,107 | ||||||
TRTX Issuer Ltd. (Cayman) |
$6,600,000 | 6,501,542 | ||||||
Venture XXVIII CLO Ltd. (Cayman) |
6,556,343 | 6,467,832 | ||||||
Voya CLO Ltd. (Cayman) |
6,103,003 | 6,032,838 |
Principal |
Value |
|||||||
Wellfleet CLO Ltd. (Cayman) |
$3,732,726 | $3,696,081 | ||||||
|
|
|||||||
Total Asset-Backed Securities |
|
338,114,721 | ||||||
|
|
|||||||
U.S. GOVERNMENT AGENCY ISSUE - 1.5% |
| |||||||
Freddie Mac |
35,600,000 | 32,907,645 | ||||||
|
|
|||||||
Total U.S. Government Agency Issue |
|
32,907,645 | ||||||
|
|
|||||||
U.S. TREASURY OBLIGATIONS - 15.4% |
|
|||||||
U.S. Government Agency Issue - 0.8% |
|
|||||||
0.625% due 07/15/32 ^ |
19,661,731 | 18,795,746 | ||||||
|
|
|||||||
U.S. Treasury Bonds - 13.1% |
| |||||||
1.375% due 11/15/40 |
25,850,000 | 17,827,412 | ||||||
1.625% due 11/15/50 |
10,200,000 | 6,547,125 | ||||||
1.875% due 02/15/41 |
4,700,000 | 3,519,217 | ||||||
2.000% due 02/15/50 |
2,900,000 | 2,057,188 | ||||||
2.250% due 08/15/49 |
2,800,000 | 2,107,219 | ||||||
2.500% due 02/15/45 |
1,300,000 | 1,038,350 | ||||||
2.750% due 08/15/42 |
26,200,000 | 22,314,008 | ||||||
2.875% due 05/15/43 |
5,500,000 | 4,756,533 | ||||||
2.875% due 08/15/45 |
30,100,000 | 25,673,772 | ||||||
3.000% due 02/15/49 |
2,050,000 | 1,795,992 | ||||||
3.125% due 02/15/42 |
8,000,000 | 7,266,875 | ||||||
3.125% due 08/15/44 |
35,400,000 | 31,612,476 | ||||||
3.250% due 05/15/42 |
78,300,000 | 72,286,804 | ||||||
3.375% due 05/15/44 |
26,300,000 | 24,481,602 | ||||||
3.625% due 02/15/44 |
13,500,000 | 13,070,215 | ||||||
3.750% due 11/15/43 |
20,900,000 | 20,661,201 | ||||||
4.250% due 05/15/39 |
4,900,000 | 5,290,660 | ||||||
4.375% due 11/15/39 |
20,700,000 | 22,631,730 | ||||||
4.500% due 08/15/39 |
7,700,000 | 8,555,873 | ||||||
4.625% due 02/15/40 |
5,500,000 | 6,194,160 | ||||||
|
|
|||||||
299,688,412 | ||||||||
|
|
|||||||
U.S. Treasury Inflation Protected Securities - 1.5% |
| |||||||
0.125% due 10/15/24 ^ |
1,049,184 | 1,024,872 | ||||||
0.125% due 07/15/31 ^ |
15,846,206 | 14,604,872 | ||||||
0.125% due 01/15/32 ^ |
4,747,468 | 4,339,775 | ||||||
0.250% due 02/15/50 ^ |
814,352 | 591,698 | ||||||
0.500% due 04/15/24 ^ |
1,304,490 | 1,283,576 | ||||||
0.625% due 01/15/24 ^ |
10,382,904 | 10,295,423 | ||||||
1.000% due 02/15/49 ^ |
1,664,040 | 1,482,288 | ||||||
|
|
|||||||
33,622,504 | ||||||||
|
|
|||||||
U.S. Treasury Notes - 0.0% |
| |||||||
2.250% due 08/15/27 |
20,000 | 18,874 | ||||||
|
|
|||||||
Total U.S. Treasury Obligations |
352,125,536 | |||||||
|
|
|||||||
FOREIGN GOVERNMENT BONDS & NOTES - 1.9% |
| |||||||
Chile Government (Chile) |
7,000,000 | 6,246,909 | ||||||
Hydro-Quebec (Canada) |
1,000,000 | 1,227,303 | ||||||
Israel Government International (Israel) |
2,600,000 | 2,177,656 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
62
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Japan Finance Organization for Municipalities (Japan) |
$3,200,000 | $3,172,768 | ||||||
Peruvian Government (Peru) |
||||||||
6.350% due 08/12/28 ~ |
PEN 7,500,000 | 1,945,012 | ||||||
8.200% due 08/12/26 ~ |
14,800,000 | 4,120,591 | ||||||
Republic of Poland Government (Poland) |
$2,100,000 | 2,130,975 | ||||||
Romanian Government (Romania) |
6,500,000 | 5,927,935 | ||||||
Saudi Government (Saudi Arabia) |
||||||||
4.875% due 07/18/33 ~ |
5,000,000 | 5,055,315 | ||||||
5.000% due 01/18/53 ~ |
5,000,000 | 4,657,890 | ||||||
State of Israel (Israel) |
9,000,000 | 7,010,837 | ||||||
|
|
|||||||
Total Foreign Government Bonds & Notes |
|
43,673,191 | ||||||
|
|
|||||||
SHORT-TERM INVESTMENTS - 8.9% |
| |||||||
Commercial Paper - 1.6% |
| |||||||
BAT International Finance PLC (United Kingdom) |
||||||||
5.900% due 05/24/23 |
1,800,000 | 1,785,380 | ||||||
5.900% due 05/25/23 |
2,800,000 | 2,776,814 | ||||||
Constellation Brands, Inc. |
||||||||
5.260% due 04/04/23 |
6,200,000 | 6,196,263 | ||||||
5.290% due 04/12/23 |
4,900,000 | 4,891,053 | ||||||
Dominion Energy, Inc. |
2,600,000 | 2,590,961 | ||||||
Edison International |
4,600,000 | 4,567,812 | ||||||
Entergy Corp. |
4,900,000 | 4,896,499 | ||||||
NextEra Energy Capital Holdings, Inc. |
4,600,000 | 4,573,367 | ||||||
Walgreens Boots Alliance, Inc. |
4,900,000 | 4,897,862 | ||||||
|
|
|||||||
37,176,011 | ||||||||
|
|
|||||||
Repurchase Agreements - 7.2% |
| |||||||
BNP Paribas SA |
||||||||
4.910% due 04/03/23 (Dated 03/31/23, repurchase price of $49,820,377; collateralized by U.S. Treasury Notes: 1.130% due 10/31/26 and value $50,527,161) |
49,800,000 | 49,800,000 | ||||||
4.820% due 04/04/23 (Dated 04/03/23, repurchase price of $53,607,176; collateralized by U.S. Treasury Notes: 0.130% due 04/15/27 and value $54,466,628) |
53,600,000 | 53,600,000 | ||||||
Fixed Income Clearing Corp. |
8,788,311 | 8,788,311 | ||||||
Royal Bank of Canada |
||||||||
4.440% due 04/05/23 (Dated 03/29/23, repurchase price of $29,621,946; collateralized by Province of Ontario: 4.700% due 06/02/37 and value $29,774,340) |
CAD 40,000,000 | 29,596,744 | ||||||
4.400% due 04/06/23 (Dated 03/30/23, repurchase price of $11,108,145; collateralized by Province of Ontario: 2.900% due 06/02/49 and value $11,301,297) |
15,000,000 | 11,098,779 |
Principal |
Value |
|||||||
4.420% due 04/06/23 (Dated 03/30/23, repurchase price of $11,108,187; collateralized by Province of Ontario: 2.800% due 06/02/48 and value $11,300,489) |
CAD 15,000,000 | $11,098,779 | ||||||
|
|
|||||||
163,982,613 | ||||||||
|
|
|||||||
U.S. Treasury Bills - 0.1% |
| |||||||
2.366% due 04/06/23 |
$748,000 | 747,713 | ||||||
4.547% due 04/06/23 |
504,000 | 503,806 | ||||||
|
|
|||||||
1,251,519 | ||||||||
|
|
|||||||
Total Short-Term Investments |
|
202,410,143 | ||||||
|
|
|||||||
TOTAL INVESTMENTS - 132.5% |
|
3,020,676,654 | ||||||
|
|
|||||||
TOTAL SECURITIES SOLD SHORT - (1.6%) |
|
(36,167,093 | ) | |||||
|
|
|||||||
DERIVATIVES - (0.4%) |
(8,977,548 | ) | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (30.5%) |
|
(695,143,781 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$2,280,388,232 | |||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $894,713 or less than 0.1% of the Funds net assets were in default as of March 31, 2023. |
(b) | The average amount of borrowings by the Fund on reverse repurchase agreements during the period ended March 31, 2023 was $ 18,149,315 at a weighted average interest rate of 4.461%. The average amount of borrowings by the Fund on sale-buyback financing transactions during the period ended March 31, 2023 was $ 377,530 at a weighted average interest rate of 4.588%. |
(c) | Securities sold short outstanding as of March 31, 2023 were as follows: |
Description | Principal Amount |
Value | ||||||
Mortgage-Backed Securities - (1.6%) |
| |||||||
Fannie Mae |
||||||||
due 05/11/53 # |
($16,800,000 | ) | ($13,903,507 | ) | ||||
due 05/11/53 # |
(25,800,000 | ) | (22,263,586 | ) | ||||
|
|
|||||||
Total Securities Sold Short |
|
($36,167,093 | ) | |||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
63
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(d) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||
Euro-Bobl |
06/23 | 142 | $17,741,590 | $18,153,400 | $411,810 | |||||||||||||
Eurodollar |
12/23 | 41 | 9,891,293 | 9,782,600 | (108,693 | ) | ||||||||||||
U.S. Treasury 5-Year Notes |
06/23 | 2,489 | 266,967,980 | 272,564,947 | 5,596,967 | |||||||||||||
U.S. Treasury Ultra Long Bonds |
06/23 | 62 | 8,396,738 | 8,749,750 | 353,012 | |||||||||||||
|
|
|||||||||||||||||
6,253,096 | ||||||||||||||||||
|
|
|||||||||||||||||
Short Futures Outstanding |
||||||||||||||||||
Euro-BTP |
06/23 | 56 | 6,780,235 | 7,005,435 | (225,200 | ) | ||||||||||||
Euro-Bund |
06/23 | 600 | 85,653,427 | 88,391,079 | (2,737,652 | ) | ||||||||||||
Euro-Buxl |
06/23 | 28 | 4,008,282 | 4,277,354 | (269,072 | ) | ||||||||||||
Euro-OAT |
06/23 | 60 | 8,203,311 | 8,474,065 | (270,754 | ) | ||||||||||||
Japan 10-Year Bonds |
06/23 | 96 | 105,113,617 | 107,094,860 | (1,981,243 | ) | ||||||||||||
U.S. Treasury 2-Year Notes |
06/23 | 1,057 | 216,019,026 | 218,220,954 | (2,201,928 | ) | ||||||||||||
U.S. Treasury 10-Year Notes |
06/23 | 498 | 57,051,665 | 57,231,094 | (179,429 | ) | ||||||||||||
U.S. Treasury 30-Year Bonds |
06/23 | 18 | 2,253,489 | 2,360,813 | (107,324 | ) | ||||||||||||
|
|
|||||||||||||||||
(7,972,602 | ) | |||||||||||||||||
|
|
|||||||||||||||||
Total Futures Contracts |
|
($1,719,506 | ) | |||||||||||||||
|
|
(e) | Forward foreign currency contracts outstanding as of March 31, 2023 were as follows: |
Currency Purchased |
Currency Sold |
Settlement Month |
Counterparty | Unrealized Appreciation |
Unrealized Depreciation |
|||||||||||||||||||||||||
AUD | 34,651,000 | USD | 23,964,063 | 05/23 | BOA | $- | ($766,674 | ) | ||||||||||||||||||||||
BRL | 16,329,176 | USD | 3,162,680 | 04/23 | CIT | 59,050 | - | |||||||||||||||||||||||
CAD | 163,472 | USD | 120,765 | 04/23 | BOA | 192 | - | |||||||||||||||||||||||
CAD | 140,008 | USD | 103,506 | 04/23 | HSB | 90 | - | |||||||||||||||||||||||
CNH | 30,424,087 | USD | 4,390,200 | 05/23 | UBS | 48,988 | - | |||||||||||||||||||||||
DKK | 3,560,515 | USD | 517,216 | 04/23 | BNP | 1,103 | - | |||||||||||||||||||||||
DKK | 34,150,000 | USD | 4,921,227 | 04/23 | BOA | 50,132 | - | |||||||||||||||||||||||
DKK | 2,472,301 | USD | 360,315 | 04/23 | CIT | - | (412 | ) | ||||||||||||||||||||||
EUR | 1,136,000 | USD | 1,238,984 | 05/23 | BOA | - | (4,079 | ) | ||||||||||||||||||||||
EUR | 937,000 | USD | 1,001,747 | 05/23 | BOA | 16,832 | - | |||||||||||||||||||||||
EUR | 2,947,000 | USD | 3,160,462 | 05/23 | SCB | 43,116 | - | |||||||||||||||||||||||
GBP | 1,079,000 | USD | 1,301,914 | 05/23 | BNP | 30,286 | - | |||||||||||||||||||||||
GBP | 1,171,000 | USD | 1,431,081 | 05/23 | CIT | 14,707 | - | |||||||||||||||||||||||
GBP | 7,726,000 | USD | 9,434,072 | 05/23 | NWM | 104,923 | - | |||||||||||||||||||||||
IDR | 174,032,408,324 | USD | 11,372,144 | 06/23 | BNP | 251,768 | - | |||||||||||||||||||||||
IDR | 13,720,881,230 | USD | 914,981 | 06/23 | CIT | 1,800 | - | |||||||||||||||||||||||
IDR | 3,203,760,000 | USD | 211,065 | 06/23 | SCB | 2,999 | - | |||||||||||||||||||||||
JPY | 1,379,495,005 | USD | 10,532,982 | 05/23 | BNP | - | (79,989 | ) | ||||||||||||||||||||||
JPY | 260,300,000 | USD | 1,979,479 | 05/23 | HSB | - | (7,081 | ) | ||||||||||||||||||||||
JPY | 206,000,000 | USD | 1,580,762 | 05/23 | SCB | - | (19,817 | ) | ||||||||||||||||||||||
JPY | 739,598,729 | USD | 5,659,937 | 05/23 | TDB | - | (55,698 | ) | ||||||||||||||||||||||
MXN | 54,380 | USD | 2,906 | 06/23 | CIT | 67 | - | |||||||||||||||||||||||
PEN | 27,414,101 | USD | 6,933,554 | 04/23 | CIT | 346,985 | - | |||||||||||||||||||||||
PEN | 2,861,060 | USD | 756,434 | 04/23 | JPM | 3,920 | - | |||||||||||||||||||||||
PEN | 21,911,683 | USD | 5,800,885 | 05/23 | BOA | 10,944 | - | |||||||||||||||||||||||
PEN | 9,032,080 | USD | 2,318,681 | 06/23 | CIT | 69,474 | - | |||||||||||||||||||||||
PEN | 1,986,149 | USD | 508,448 | 08/23 | CIT | 15,225 | - | |||||||||||||||||||||||
THB | 413,287,544 | USD | 12,616,000 | 04/23 | GSC | - | (513,256 | ) | ||||||||||||||||||||||
TWD | 31,574,009 | USD | 1,043,000 | 06/23 | BNP | - | (822 | ) | ||||||||||||||||||||||
USD | 1,927,548 | AUD | 2,876,000 | 05/23 | SCB | 2,187 | - | |||||||||||||||||||||||
USD | 3,167,823 | BRL | 16,329,176 | 04/23 | CIT | - | (53,907 | ) | ||||||||||||||||||||||
USD | 14,880,470 | CAD | 20,321,030 | 04/23 | BNP | - | (155,820 | ) |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
64
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Currency Purchased |
Currency Sold |
Settlement Month |
Counterparty | Unrealized Appreciation |
Unrealized Depreciation |
|||||||||||||||||||||||||||
USD |
11,042,102 | CAD | 15,012,686 | 04/23 | BOA | $ | ($66,490 | ) | ||||||||||||||||||||||||
USD |
14,655,322 | CAD | 20,017,030 | 04/23 | CIT | | (156,030 | ) | ||||||||||||||||||||||||
USD |
11,042,076 | CAD | 15,012,687 | 04/23 | JPM | | (66,516 | ) | ||||||||||||||||||||||||
USD |
120,765 | CAD | 163,405 | 05/23 | BOA | | (193 | ) | ||||||||||||||||||||||||
USD |
103,506 | CAD | 139,950 | 05/23 | HSB | | (89 | ) | ||||||||||||||||||||||||
USD |
32,285 | CNH | 218,000 | 04/23 | BOA | 542 | | |||||||||||||||||||||||||
USD |
4,656,963 | CNH | 31,252,879 | 05/23 | HSB | 96,846 | | |||||||||||||||||||||||||
USD |
2,870,566 | DKK | 20,130,461 | 04/23 | BOA | | (59,909 | ) | ||||||||||||||||||||||||
USD |
3,124,091 | DKK | 21,979,638 | 04/23 | CIT | | (75,577 | ) | ||||||||||||||||||||||||
USD |
517,216 | DKK | 3,553,895 | 05/23 | BNP | | (1,087 | ) | ||||||||||||||||||||||||
USD |
280,978 | DKK | 1,921,093 | 05/23 | BRC | 804 | | |||||||||||||||||||||||||
USD |
360,315 | DKK | 2,467,671 | 05/23 | CIT | 428 | | |||||||||||||||||||||||||
USD |
50,667,353 | EUR | 47,204,000 | 05/23 | BNP | | (646,419 | ) | ||||||||||||||||||||||||
USD |
876,469 | EUR | 817,000 | 05/23 | BOA | | (11,662 | ) | ||||||||||||||||||||||||
USD |
1,235,425 | EUR | 1,150,000 | 05/23 | CIT | | (14,699 | ) | ||||||||||||||||||||||||
USD |
717,196 | GBP | 587,000 | 05/23 | BOA | | (7,551 | ) | ||||||||||||||||||||||||
USD |
79,862,541 | GBP | 66,096,000 | 05/23 | BRC | | (1,743,649 | ) | ||||||||||||||||||||||||
USD |
26,900 | IDR | 414,855,089 | 06/23 | BNP | | (807 | ) | ||||||||||||||||||||||||
USD |
1,097,000 | IDR | 16,901,479,000 | 06/23 | MSC | | (32,298 | ) | ||||||||||||||||||||||||
USD |
3,065,851 | JPY | 404,200,000 | 05/23 | BOA | 3,064 | | |||||||||||||||||||||||||
USD |
2,705,905 | JPY | 358,700,000 | 05/23 | CIT | | (12,110 | ) | ||||||||||||||||||||||||
USD |
3,477,405 | JPY | 462,800,000 | 05/23 | HSB | | (29,418 | ) | ||||||||||||||||||||||||
USD |
5,811,347 | PEN | 21,911,683 | 04/23 | BOA | | (9,240 | ) | ||||||||||||||||||||||||
USD |
4,998,438 | PEN | 19,739,730 | 04/23 | CIT | | (239,087 | ) | ||||||||||||||||||||||||
USD |
761,305 | PEN | 2,861,060 | 04/23 | JPM | 951 | | |||||||||||||||||||||||||
USD |
1,774,578 | PEN | 6,806,038 | 05/23 | BOA | | (29,720 | ) | ||||||||||||||||||||||||
USD |
8,491,744 | PEN | 33,695,239 | 05/23 | CIT | | (438,139 | ) | ||||||||||||||||||||||||
USD |
3,152,294 | PEN | 12,247,922 | 07/23 | CIT | | (83,760 | ) | ||||||||||||||||||||||||
USD |
936,000 | THB | 31,766,436 | 04/23 | CIT | 5,749 | | |||||||||||||||||||||||||
USD |
6,910,091 | TWD | 210,785,423 | 06/23 | BNP | | (48,253 | ) | ||||||||||||||||||||||||
USD |
4,036 | TWD | 123,280 | 06/23 | CIT | | (33 | ) | ||||||||||||||||||||||||
USD |
5,114,268 | TWD | 155,917,406 | 06/23 | GSC | | (32,169 | ) | ||||||||||||||||||||||||
USD |
338,910 | TWD | 10,330,994 | 06/23 | SCB | | (2,132 | ) | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
Total Forward Foreign Currency Contracts |
$1,183,172 | ($5,464,592 | ) | |||||||||||||||||||||||||||||
|
|
|
|
(f) | Purchased options outstanding as of March 31, 2023 were as follows: |
Interest Rate Swaptions
Description | Pay/Receive Floating Rate |
Floating Rate Index |
Exercise Rate |
Expiration Date |
Counter- party |
Notional Amount |
Cost | Value | ||||||||||||||||||||||||
Put - 10-Year Interest Rate Swap |
Receive | SOFR | 4.200% | 09/06/23 | GSC | $7,900,000 | $79,000 | $21,741 | ||||||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Receive | SOFR | 3.750% | 09/11/23 | MSC | 142,500,000 | 1,083,000 | 948,722 | ||||||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Receive | SOFR | 3.750% | 09/12/23 | BOA | 75,600,000 | 604,800 | 503,299 | ||||||||||||||||||||||||
Put - 10-Year Interest Rate Swap |
Receive | SOFR | 3.850% | 03/04/24 | BOA | 6,100,000 | 146,146 | 71,319 | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||
Total Purchased Options |
$1,912,946 | $1,545,081 | ||||||||||||||||||||||||||||||
|
|
|
|
(g) | Premiums received and value of written options outstanding as of March 31, 2023 were as follows: |
Interest Rate Swaptions
Description | Pay/Receive Floating Rate |
Floating Rate Index |
Exercise Rate |
Expiration Date |
Counter- party |
Notional Amount |
Premium | Value | ||||||||||||||||||||||
Call - 10-Year Interest Rate Swap |
Receive | SOFR | 2.950% | 05/04/23 | GSC | $3,900,000 | $20,329 | ($20,329 | ) | |||||||||||||||||||||
Call - 10-Year Interest Rate Swap |
Receive | 6-Month EUR-LIBOR | 2.067% | 06/09/23 | GSC | EUR 5,500,000 | 64,592 | (8,578 | ) | |||||||||||||||||||||
Call - 1-Year Interest Rate Swap |
Receive | SOFR | 2.910% | 11/10/23 | GSC | $9,300,000 | 61,729 | (17,212 | ) | |||||||||||||||||||||
Call - 1-Year Interest Rate Swap |
Receive | SOFR | 2.150% | 11/20/23 | GSC | 9,600,000 | 33,480 | (8,644 | ) | |||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||
180,130 | (54,763 | ) | ||||||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||
Put - 10-Year Interest Rate Swap |
Pay | SOFR | 3.450% | 05/04/23 | GSC | 3,900,000 | 20,329 | (20,329 | ) | |||||||||||||||||||||
Put - 10-Year Interest Rate Swap |
Pay | 6-Month EUR-LIBOR | 3.140% | 06/09/23 | GSC | EUR 5,500,000 | 76,014 | (64,992 | ) | |||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Pay | SOFR | 5.766% | 09/06/23 | GSC | $65,000,000 | 78,000 | (16,581 | ) | |||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Pay | SOFR | 4.233% | 09/11/23 | MSC | 142,500,000 | 684,000 | (556,947 | ) | |||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Pay | SOFR | 4.715% | 09/11/23 | MSC | 142,500,000 | 399,000 | (283,532 | ) | |||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Pay | SOFR | 4.250% | 09/12/23 | BOA | 75,600,000 | 378,000 | (289,004 | ) | |||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Pay | SOFR | 4.750% | 09/12/23 | BOA | 75,600,000 | 226,800 | (142,408 | ) | |||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Pay | SOFR | 2.910% | 11/10/23 | GSC | 9,300,000 | 61,729 | (105,059 | ) | |||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Pay | SOFR | 3.650% | 11/20/23 | GSC | 9,600,000 | 33,480 | (58,939 | ) | |||||||||||||||||||||
Put - 1-Year Interest Rate Swap |
Pay | SOFR | 5.100% | 03/04/24 | BOA | 50,800,000 | 146,685 | (43,983 | ) | |||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||
2,104,037 | (1,581,774 | ) | ||||||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||
Total Interest Rate Swaptions |
|
$2,284,167 | ($1,636,537 | ) | ||||||||||||||||||||||||||
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
65
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Options on Futures
Description | Exercise Price |
Expiration Date |
Exchange | Number of Contracts |
Notional Amount |
Premium | Value | |||||||||||||||||||
Call - U.S. Treasury 5-Year Notes (05/23) |
$111.50 | 04/21/23 | CME | 26 | $2,899,000 | $10,577 | ($5,484 | ) | ||||||||||||||||||
Cal - U.S. Treasury 10-Year Notes (05/23) |
119.00 | 04/21/23 | CME | 92 | 10,948,000 | 84,110 | (11,500 | ) | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
94,687 | (16,984 | ) | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
Put - U.S. Treasury 5-Year Notes (05/23) |
108.50 | 04/21/23 | CME | 26 | 2,821,000 | 8,771 | (6,906 | ) | ||||||||||||||||||
Put - U.S. Treasury 10-Year Notes (05/23) |
112.00 | 04/21/23 | CME | 92 | 10,304,000 | 49,263 | (10,063 | ) | ||||||||||||||||||
Put - Eurodollar (12/23) |
96.50 | 12/18/23 | CME | 466 | 112,422,500 | 488,963 | (1,537,800 | ) | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
546,997 | (1,554,769 | ) | ||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
Total Options on Futures |
$641,684 | ($1,571,753 | ) | |||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
Total Written Options |
$2,925,851 | ($3,208,290 | ) | |||||||||||||||||||||||
|
|
|
|
(h) | Swap agreements outstanding as of March 31, 2023 were as follows: |
Credit Default Swaps on Corporate and Sovereign Issues - Sell Protection (1)
Referenced Obligation | Payment Frequency |
Fixed Deal Receive Rate |
Expiration Date |
Counter- party |
Implied Credit Spread at 03/31/23 (2) |
Notional Amount (3) |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
|||||||||||||||||||||||
Banco do Brasil SA |
Q | 1.000% | 12/20/24 | JPM | 1.566% | $2,500,000 | ($22,430 | ) | ($52,673 | ) | $30,243 | |||||||||||||||||||||
South Africa Government |
Q | 1.000% | 12/20/26 | MSC | 2.168% | 4,800,000 | (186,904 | ) | (161,400 | ) | (25,504 | ) | ||||||||||||||||||||
Colombia Government |
Q | 1.000% | 06/20/27 | GSC | 2.348% | 4,600,000 | (231,065 | ) | (152,757 | ) | (78,308 | ) | ||||||||||||||||||||
Colombia Government |
Q | 1.000% | 06/20/27 | MSC | 2.348% | 1,600,000 | (80,371 | ) | (73,120 | ) | (7,251 | ) | ||||||||||||||||||||
Colombia Government |
Q | 1.000% | 12/20/27 | GSC | 2.611% | 2,100,000 | (138,836 | ) | (170,860 | ) | 32,024 | |||||||||||||||||||||
Colombia Government |
Q | 1.000% | 12/20/27 | MSC | 2.611% | 1,900,000 | (125,613 | ) | (154,587 | ) | 28,974 | |||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||
(785,219 | ) | (765,397 | ) | (19,822 | ) | |||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||
Exchange | ||||||||||||||||||||||||||||||||
Barclays Bank PLC |
Q | 1.000% | 12/20/23 | ICE | 0.909% | EUR 2,400,000 | 2,754 | 1,981 | 773 | |||||||||||||||||||||||
General Electric Co. |
Q | 1.000% | 12/20/23 | ICE | 0.267% | $2,900,000 | 16,162 | (19,415 | ) | 35,577 | ||||||||||||||||||||||
General Electric Co. |
Q | 1.000% | 06/20/24 | ICE | 0.358% | 3,950,000 | 31,657 | (19,569 | ) | 51,226 | ||||||||||||||||||||||
General Electric Co. |
Q | 1.000% | 12/20/24 | ICE | 0.430% | 2,200,000 | 21,625 | (11,993 | ) | 33,618 | ||||||||||||||||||||||
Boeing Co. |
Q | 1.000% | 06/20/25 | ICE | 1.000% | 6,900,000 | 56,202 | (78,506 | ) | 134,708 | ||||||||||||||||||||||
Rolls-Royce PLC |
Q | 1.000% | 06/20/25 | ICE | 1.475% | EUR 4,300,000 | (43,311 | ) | (314,595 | ) | 271,284 | |||||||||||||||||||||
Verizon Communications, Inc. |
Q | 1.000% | 12/20/26 | ICE | 0.817% | $7,300,000 | 48,163 | 124,114 | (75,951 | ) | ||||||||||||||||||||||
British Telecommunications PLC |
Q | 1.000% | 06/20/28 | ICE | 1.157% | EUR 6,200,000 | (49,666 | ) | (25,147 | ) | (24,519 | ) | ||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||
83,586 | (343,130 | ) | 426,716 | |||||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||
Total Credit Default Swaps on Corporate and Sovereign Issues Sell Protection |
|
($701,633 | ) | ($1,108,527 | ) | $406,894 | ||||||||||||||||||||||||||
|
|
|
|
|
|
Credit Default Swaps on Credit Indices - Buy Protection (4)
Referenced Obligation | Payment Frequency |
Fixed Deal Pay Rate |
Expiration Date |
Exchange | Notional Amount (3) |
Value (5) | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||
CDX HY35 5Y |
Q | 5.000% | 12/20/25 | ICE | $2,475,000 | ($73,933 | ) | ($96,188 | ) | $22,255 | ||||||||||||||||||
CDX HY36 5Y |
Q | 5.000% | 06/20/26 | ICE | 4,752,000 | (152,354 | ) | (284,845 | ) | 132,491 | ||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||
($226,287 | ) | ($381,033 | ) | $154,746 | ||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||
Credit Default Swaps on Credit Indices - Sell Protection (1)
|
| |||||||||||||||||||||||||||
Referenced Obligation | Payment Frequency |
Fixed Deal Receive Rate |
Expiration Date |
Exchange | Notional Amount (3) |
Value (5) | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||
CDX IG39 5Y |
Q | 1.000% | 12/20/27 | ICE | $6,400,000 | $76,571 | $41,617 | $34,954 | ||||||||||||||||||||
CDX IG40 5Y |
Q | 1.000% | 06/20/28 | ICE | 10,000,000 | 117,703 | 73,678 | 44,025 | ||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||
$194,274 | $115,295 | $78,979 | ||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||
Total Credit Default Swaps |
($733,646 | ) | ($1,374,265 | ) | $640,619 | |||||||||||||||||||||||
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
66
PACIFIC SELECT FUND
MANAGED BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(1) | If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying investments comprising the referenced index or (ii) pay a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index. |
(2) | An implied credit spread is the spread in yield between a U.S. Treasury security and the referenced obligation or underlying investment that are identical in all respects except for the quality rating. Implied credit spreads, represented in the absolute terms, utilized in determining the value of credit default swap agreements on corporate and sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter the agreement. Wider credit spreads, in comparison to narrower credit spreads, represent a deterioration of the referenced entitys credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as Defaulted indicates a credit event has occurred for the referenced entity or obligation. |
(3) | The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement. |
(4) | If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying investments comprising the referenced index or (ii) receive a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index. |
(5) | The quoted market prices and resulting values for credit default swap agreements on credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of three-month period end. Increasing values (buy protection) or decreasing values (sell protection), when compared to the notional amount of the swap, represent a deterioration of the referenced entitys credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. |
Interest Rate Swaps - Long |
||||||||||||||||||||||||||||||
Receive | Pay | Payment Frequency Receive Rate/ Pay Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||||
0.000% | 1-Day JPY-TONAR | A/A | LCH | 03/17/24 | JPY 21,440,000,000 | ($84,097 | ) | $134,738 | ($218,835 | ) | ||||||||||||||||||||
12.600% | Brazil CETIP Interbank | Z/Z | CME | 01/02/25 | BRL 750,000 | 367 | - | 367 | ||||||||||||||||||||||
11.960% | Brazil CETIP Interbank | Z/Z | CME | 01/04/27 | 33,800,000 | (53,959 | ) | - | (53,959 | ) | ||||||||||||||||||||
11.980% | Brazil CETIP Interbank | Z/Z | CME | 01/04/27 | 39,600,000 | (58,756 | ) | - | (58,756 | ) | ||||||||||||||||||||
12.980% | Brazil CETIP Interbank | Z/Z | CME | 01/04/27 | 35,200,000 | 150,005 | - | 150,005 | ||||||||||||||||||||||
12.990% | Brazil CETIP Interbank | Z/Z | CME | 01/04/27 | 17,600,000 | 75,821 | - | 75,821 | ||||||||||||||||||||||
13.024% | Brazil CETIP Interbank | Z/Z | CME | 01/04/27 | 17,600,000 | 78,599 | - | 78,599 | ||||||||||||||||||||||
1.788% | 1-Day USD-SOFR | A/A | LCH | 05/03/27 | $21,500,000 | (1,608,695 | ) | (61,525 | ) | (1,547,170 | ) | |||||||||||||||||||
1.000% | 6-Month EUR-LIBOR | A/S | LCH | 05/18/27 | EUR 29,000,000 | (2,504,251 | ) | (485,891 | ) | (2,018,360 | ) | |||||||||||||||||||
2.850% | 1-Day USD-SOFR | A/A | LCH | 08/29/27 | $50,500,000 | (1,488,896 | ) | (231,306 | ) | (1,257,590 | ) | |||||||||||||||||||
2.547% | 6-Month EUR-LIBOR | A/S | LCH | 03/09/33 | EUR 4,500,000 | (174,634 | ) | (100,010 | ) | (74,624 | ) | |||||||||||||||||||
3.000% | 6-Month EUR-LIBOR | A/S | LCH | 09/20/33 | 68,200,000 | 423,127 | (481,929 | ) | 905,056 | |||||||||||||||||||||
0.450% | 1-Day JPY-TONAR | A/A | LCH | 12/15/51 | JPY 310,000,000 | (358,836 | ) | (216,279 | ) | (142,557 | ) | |||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
($5,604,205 | ) | ($1,442,202 | ) | ($4,162,003 | ) | |||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
Interest Rate Swaps - Short |
||||||||||||||||||||||||||||||
Pay | Receive | Payment Frequency Pay Rate/ Receive Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||||
12.351% | Brazil CETIP Interbank | Z/Z | CME | 01/04/27 | BRL 31,300,000 | ($52,285 | ) | $- | ($52,285 | ) | ||||||||||||||||||||
12.417% | Brazil CETIP Interbank | Z/Z | CME | 01/04/27 | 78,300,000 | (154,282 | ) | - | (154,282 | ) | ||||||||||||||||||||
1.750% | 1-Day USD-SOFR | A/A | CME | 06/15/32 | $34,800,000 | 4,442,188 | 4,969,338 | (527,150 | ) | |||||||||||||||||||||
3.156% | 1-Day USD-SOFR | A/A | LCH | 03/10/33 | 27,600,000 | (185,389 | ) | - | (185,389 | ) | ||||||||||||||||||||
0.750% | 1-Day JPY-TONAR | S/S | LCH | 03/20/38 | JPY 50,000,000 | 8,402 | (17,549 | ) | 25,951 | |||||||||||||||||||||
0.800% | 1-Day JPY-TONAR | S/S | LCH | 10/22/38 | 220,000,000 | 26,248 | 110 | 26,138 | ||||||||||||||||||||||
0.705% | 1-Day JPY-TONAR | S/S | LCH | 10/31/38 | 170,000,000 | 39,180 | 8,720 | 30,460 | ||||||||||||||||||||||
0.785% | 1-Day JPY-TONAR | S/S | LCH | 11/12/38 | 310,000,000 | 44,205 | 884 | 43,321 | ||||||||||||||||||||||
0.750% | 1-Day JPY-TONAR | S/S | LCH | 12/20/38 | 42,800,000 | 8,293 | (18,364 | ) | 26,657 | |||||||||||||||||||||
0.500% | 1-Day JPY-TONAR | A/A | LCH | 03/15/42 | 2,459,000,000 | 1,564,096 | 677,552 | 886,544 | ||||||||||||||||||||||
0.662% | 1-Day JPY-TONAR | A/A | LCH | 04/19/42 | 138,000,000 | 52,292 | - | 52,292 | ||||||||||||||||||||||
0.800% | 1-Day JPY-TONAR | A/A | LCH | 06/15/52 | 3,770,000,000 | 1,748,820 | (6,832 | ) | 1,755,652 | |||||||||||||||||||||
1.750% | 1-Day USD-SOFR | A/A | CME | 12/21/52 | $11,600,000 | 2,788,076 | 2,118,574 | 669,502 | ||||||||||||||||||||||
3.250% | 1-Day GBP-SONIA | A/A | LCH | 09/20/53 | GBP 7,300,000 | (167,419 | ) | 222,021 | (389,440 | ) | ||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
$10,162,425 | $7,954,454 | $2,207,971 | ||||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
Total Interest Rate Swaps |
$4,558,220 | $6,512,252 | ($1,954,032 | ) | ||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
Total Swap Agreements |
$3,824,574 | $5,137,987 | ($1,313,413 | ) | ||||||||||||||||||||||||||
|
|
|
|
|
|
(i) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$231,298 | $231,298 | $- | $- | |||||||||||||
Corporate Bonds & Notes |
779,129,054 | - | 779,129,054 | - | ||||||||||||||
Mortgage-Backed Securities |
1,272,085,066 | - | 1,272,085,066 | - | ||||||||||||||
Asset-Backed Securities |
338,114,721 | - | 338,114,721 | - | ||||||||||||||
U.S. Government Agency Issue |
32,907,645 | - | 32,907,645 | - | ||||||||||||||
U.S. Treasury Obligations |
352,125,536 | - | 352,125,536 | - | ||||||||||||||
Foreign Government Bonds & Notes |
43,673,191 | - | 43,673,191 | - | ||||||||||||||
Short-Term Investments |
202,410,143 | - | 202,410,143 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Credit Contracts |
||||||||||||||||||
Swaps |
852,152 | - | 852,152 | - | ||||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
1,183,172 | - | 1,183,172 | - | ||||||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
6,361,789 | 6,361,789 | - | - | ||||||||||||||
Purchased Options |
1,545,081 | - | 1,545,081 | - | ||||||||||||||
Swaps |
4,726,365 | - | 4,726,365 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Interest Rate Contracts |
12,633,235 | 6,361,789 | 6,271,446 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Asset - Derivatives |
14,668,559 | 6,361,789 | 8,306,770 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
3,035,345,213 | 6,593,087 | 3,028,752,126 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Securities Sold Short |
|||||||||||||||||
Mortgage-Backed Securities |
(36,167,093 | ) | - | (36,167,093 | ) | - | ||||||||||||
Derivatives: |
||||||||||||||||||
Credit Contracts |
||||||||||||||||||
Swaps |
(211,533 | ) | - | (211,533 | ) | - | ||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
(5,464,592 | ) | - | (5,464,592 | ) | - | ||||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
(8,081,295 | ) | (8,081,295 | ) | - | - | ||||||||||||
Written Options |
(3,208,290 | ) | - | (3,208,290 | ) | - | ||||||||||||
Swaps |
(6,680,397 | ) | - | (6,680,397 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Interest Rate Contracts |
(17,969,982 | ) | (8,081,295 | ) | (9,888,687 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities - Derivatives |
(23,646,107 | ) | (8,081,295 | ) | (15,564,812 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(59,813,200 | ) | (8,081,295 | ) | (51,731,905 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$2,975,532,013 | ($1,488,208 | ) | $2,977,020,221 | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
67
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
CORPORATE BONDS & NOTES - 44.8% |
| |||||||
Basic Materials - 1.9% |
| |||||||
ArcelorMittal SA (Luxembourg) |
$1,135,000 | $1,111,958 | ||||||
Celanese US Holdings LLC |
||||||||
5.900% due 07/05/24 |
3,770,000 | 3,773,126 | ||||||
6.050% due 03/15/25 |
4,505,000 | 4,533,996 | ||||||
Celulosa Arauco y Constitucion SA (Chile) |
1,300,000 | 1,276,009 | ||||||
Ecolab, Inc. |
||||||||
1.650% due 02/01/27 |
1,050,000 | 952,433 | ||||||
5.250% due 01/15/28 |
2,910,000 | 3,020,930 | ||||||
LG Chem Ltd. (South Korea) |
3,000,000 | 2,918,339 | ||||||
LYB International Finance III LLC |
1,943,000 | 1,761,266 | ||||||
Nucor Corp. |
||||||||
2.000% due 06/01/25 |
670,000 | 630,508 | ||||||
3.950% due 05/23/25 |
1,280,000 | 1,260,467 | ||||||
Nutrien Ltd. (Canada) |
1,020,000 | 1,020,468 | ||||||
POSCO (South Korea) |
||||||||
4.375% due 08/04/25 ~ |
2,000,000 | 1,969,164 | ||||||
5.625% due 01/17/26 ~ |
4,500,000 | 4,551,651 | ||||||
Sherwin-Williams Co. |
||||||||
4.050% due 08/08/24 |
480,000 | 474,128 | ||||||
4.250% due 08/08/25 |
970,000 | 959,698 | ||||||
Westlake Corp. |
1,805,000 | 1,710,670 | ||||||
|
|
|||||||
31,924,811 | ||||||||
|
|
|||||||
Communications - 2.9% |
||||||||
Charter Communications Operating LLC/Charter Communications Operating Capital |
8,549,000 | 8,467,132 | ||||||
Comcast Corp. |
||||||||
3.375% due 08/15/25 |
1,710,000 | 1,671,143 | ||||||
3.950% due 10/15/25 |
250,000 | 247,295 | ||||||
Cox Communications, Inc. |
4,606,000 | 4,491,196 | ||||||
KT Corp. (South Korea) |
1,680,000 | 1,645,226 | ||||||
NBN Co. Ltd. (Australia) |
3,725,000 | 3,369,248 | ||||||
NTT Finance Corp. (Japan) |
||||||||
0.583% due 03/01/24 ~ |
1,065,000 | 1,021,432 | ||||||
4.142% due 07/26/24 ~ |
440,000 | 436,136 | ||||||
4.239% due 07/25/25 ~ |
385,000 | 379,964 | ||||||
Rogers Communications, Inc. (Canada) |
2,995,000 | 2,820,059 | ||||||
SES SA (Luxembourg) |
1,670,000 | 1,670,000 | ||||||
Sky Ltd. (United Kingdom) |
6,130,000 | 6,013,993 | ||||||
T-Mobile USA, Inc. |
||||||||
2.250% due 02/15/26 |
1,895,000 | 1,764,171 | ||||||
3.500% due 04/15/25 |
3,470,000 | 3,374,863 | ||||||
Verizon Communications, Inc. |
||||||||
0.850% due 11/20/25 |
3,620,000 | 3,296,986 | ||||||
1.450% due 03/20/26 |
3,050,000 | 2,807,576 | ||||||
2.625% due 08/15/26 |
3,610,000 | 3,414,640 | ||||||
|
|
|||||||
46,891,060 | ||||||||
|
|
Principal |
Value |
|||||||
Consumer, Cyclical - 4.2% |
||||||||
7-Eleven, Inc. |
$1,285,000 | $1,230,769 | ||||||
Advance Auto Parts, Inc. |
535,000 | 546,236 | ||||||
American Airlines Pass-Through Trust Class B |
893,836 | 834,904 | ||||||
AutoZone, Inc. |
1,320,000 | 1,287,056 | ||||||
Brunswick Corp. |
3,440,000 | 3,214,532 | ||||||
Daimler Truck Finance North America LLC (Germany) |
||||||||
1.625% due 12/13/24 ~ |
2,665,000 | 2,523,443 | ||||||
5.150% due 01/16/26 ~ |
765,000 | 768,448 | ||||||
5.200% due 01/17/25 ~ |
950,000 | 952,075 | ||||||
General Motors Financial Co., Inc. |
4,520,000 | 4,317,079 | ||||||
Genuine Parts Co. |
1,065,000 | 1,006,682 | ||||||
Hasbro, Inc. |
4,800,000 | 4,631,131 | ||||||
Hyatt Hotels Corp. |
1,150,000 | 1,125,998 | ||||||
Hyundai Capital America |
||||||||
0.800% due 01/08/24 ~ |
1,570,000 | 1,512,973 | ||||||
0.875% due 06/14/24 ~ |
2,015,000 | 1,908,467 | ||||||
1.000% due 09/17/24 ~ |
1,305,000 | 1,223,905 | ||||||
5.500% due 03/30/26 ~ |
1,125,000 | 1,127,342 | ||||||
5.600% due 03/30/28 ~ |
1,480,000 | 1,483,515 | ||||||
Hyundai Capital Services, Inc. (South Korea) |
1,010,000 | 947,688 | ||||||
Lowes Cos., Inc. |
||||||||
3.350% due 04/01/27 |
825,000 | 791,529 | ||||||
4.400% due 09/08/25 |
2,772,000 | 2,759,973 | ||||||
4.800% due 04/01/26 |
1,635,000 | 1,645,109 | ||||||
Marriott International, Inc. |
||||||||
3.750% due 03/15/25 |
475,000 | 462,330 | ||||||
4.900% due 04/15/29 |
510,000 | 505,783 | ||||||
5.750% due 05/01/25 |
480,000 | 483,592 | ||||||
Mercedes-Benz Finance North America LLC (Germany) |
||||||||
4.800% due 03/30/26 ~ |
1,725,000 | 1,727,539 | ||||||
4.950% due 03/30/25 ~ |
1,350,000 | 1,351,850 | ||||||
Nissan Motor Acceptance Co. LLC |
250,000 | 247,240 | ||||||
Nissan Motor Co. Ltd. (Japan) |
4,460,000 | 4,394,090 | ||||||
Nordstrom, Inc. |
320,000 | 306,022 | ||||||
QVC, Inc. |
2,385,000 | 1,911,029 | ||||||
Ross Stores, Inc. |
||||||||
0.875% due 04/15/26 |
960,000 | 854,790 | ||||||
4.600% due 04/15/25 |
5,315,000 | 5,306,904 | ||||||
Starbucks Corp. |
2,105,000 | 2,118,259 | ||||||
Stellantis Finance US, Inc. |
1,940,000 | 1,717,530 | ||||||
United Airlines Pass-Through Trust Class B |
536,390 | 485,576 | ||||||
Volkswagen Group of America Finance LLC (Germany) |
||||||||
0.875% due 11/22/23 ~ |
1,415,000 | 1,376,368 | ||||||
3.125% due 05/12/23 ~ |
680,000 | 678,084 | ||||||
3.950% due 06/06/25 ~ |
1,765,000 | 1,731,962 | ||||||
Warnermedia Holdings, Inc. |
||||||||
3.755% due 03/15/27 ~ |
6,730,000 | 6,343,526 | ||||||
6.412% due 03/15/26 |
1,170,000 | 1,176,262 | ||||||
|
|
|||||||
69,017,590 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
68
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Consumer, Non-Cyclical - 8.1% |
| |||||||
AbbVie, Inc. |
||||||||
2.600% due 11/21/24 |
$7,590,000 | $7,327,991 | ||||||
2.950% due 11/21/26 |
5,005,000 | 4,765,419 | ||||||
3.200% due 05/14/26 |
335,000 | 323,646 | ||||||
Amgen, Inc. |
||||||||
5.150% due 03/02/28 |
1,910,000 | 1,951,169 | ||||||
5.250% due 03/02/25 |
2,395,000 | 2,422,550 | ||||||
Anheuser-Busch Cos., LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium) |
2,665,000 | 2,617,377 | ||||||
Astrazeneca Finance LLC (United Kingdom) |
3,930,000 | 3,581,246 | ||||||
BAT International Finance PLC (United Kingdom) |
||||||||
1.668% due 03/25/26 |
2,395,000 | 2,180,945 | ||||||
4.448% due 03/16/28 |
4,490,000 | 4,271,896 | ||||||
Bayer US Finance II LLC (Germany) |
3,750,000 | 3,708,646 | ||||||
Becton Dickinson & Co. |
||||||||
3.363% due 06/06/24 |
1,616,000 | 1,586,757 | ||||||
3.734% due 12/15/24 |
1,473,000 | 1,440,888 | ||||||
4.693% due 02/13/28 |
3,635,000 | 3,652,113 | ||||||
Cardinal Health, Inc. |
||||||||
3.079% due 06/15/24 |
1,285,000 | 1,256,427 | ||||||
3.500% due 11/15/24 |
2,100,000 | 2,048,943 | ||||||
Coca-Cola Europacific Partners PLC (United Kingdom) |
4,235,000 | 4,040,983 | ||||||
CSL Finance PLC (Australia) |
755,000 | 736,528 | ||||||
CVS Health Corp. |
||||||||
2.875% due 06/01/26 |
1,100,000 | 1,045,841 | ||||||
3.000% due 08/15/26 |
1,060,000 | 1,012,029 | ||||||
5.000% due 02/20/26 |
2,440,000 | 2,468,658 | ||||||
Diageo Capital PLC (United Kingdom) |
||||||||
1.375% due 09/29/25 |
1,300,000 | 1,201,942 | ||||||
5.200% due 10/24/25 |
1,600,000 | 1,622,145 | ||||||
Elevance Health, Inc. |
||||||||
2.375% due 01/15/25 |
780,000 | 747,057 | ||||||
5.350% due 10/15/25 |
805,000 | 812,549 | ||||||
HCA, Inc. |
||||||||
3.125% due 03/15/27 ~ |
2,555,000 | 2,376,932 | ||||||
5.375% due 02/01/25 |
1,065,000 | 1,066,132 | ||||||
Health Care Service Corp. A Mutual Legal Reserve Co. |
3,795,000 | 3,538,050 | ||||||
HPHT Finance 19 Ltd. (Hong Kong) |
1,880,000 | 1,819,014 | ||||||
HPHT Finance 21 II Ltd. (Hong Kong) |
3,450,000 | 3,087,060 | ||||||
Humana, Inc. |
||||||||
0.650% due 08/03/23 |
1,140,000 | 1,123,981 | ||||||
1.350% due 02/03/27 |
1,250,000 | 1,098,435 | ||||||
3.850% due 10/01/24 |
2,120,000 | 2,085,032 | ||||||
4.500% due 04/01/25 |
2,015,000 | 1,998,364 | ||||||
5.750% due 03/01/28 |
725,000 | 753,500 | ||||||
Imperial Brands Finance PLC (United Kingdom) |
||||||||
3.125% due 07/26/24 ~ |
5,615,000 | 5,441,677 | ||||||
4.250% due 07/21/25 ~ |
1,315,000 | 1,274,094 | ||||||
JDE Peets NV (Netherlands) |
1,510,000 | 1,407,917 | ||||||
Kenvue, Inc. |
||||||||
5.350% due 03/22/26 ~ |
1,075,000 | 1,103,588 | ||||||
5.500% due 03/22/25 ~ |
2,050,000 | 2,084,828 | ||||||
Mondelez International Holdings Netherlands BV |
1,410,000 | 1,396,436 | ||||||
Mondelez International, Inc. |
1,895,000 | 1,772,780 | ||||||
Moodys Corp. |
2,285,000 | 2,239,844 |
Principal |
Value |
|||||||
Nestle Holdings, Inc. |
$ 2,925,000 | $ 3,003,497 | ||||||
PeaceHealth Obligated Group |
455,000 | 414,392 | ||||||
PerkinElmer, Inc. |
||||||||
0.550% due 09/15/23 |
1,385,000 | 1,357,067 | ||||||
0.850% due 09/15/24 |
2,640,000 | 2,479,666 | ||||||
Perrigo Finance Unlimited Co. |
5,480,000 | 5,372,784 | ||||||
Philip Morris International, Inc. |
||||||||
5.000% due 11/17/25 |
1,305,000 | 1,315,842 | ||||||
5.125% due 11/15/24 |
1,775,000 | 1,787,294 | ||||||
Royalty Pharma PLC |
1,865,000 | 1,818,788 | ||||||
S&P Global, Inc. |
4,790,000 | 4,495,314 | ||||||
Shire Acquisitions Investments Ireland DAC |
930,000 | 918,778 | ||||||
Triton Container International Ltd. (Bermuda) |
2,770,000 | 2,706,979 | ||||||
UnitedHealth Group, Inc. |
||||||||
3.700% due 05/15/27 |
2,755,000 | 2,697,206 | ||||||
4.250% due 01/15/29 |
3,265,000 | 3,242,748 | ||||||
5.150% due 10/15/25 |
2,305,000 | 2,350,007 | ||||||
5.250% due 02/15/28 |
1,750,000 | 1,821,059 | ||||||
Viatris, Inc. |
1,410,000 | 1,293,836 | ||||||
Zoetis, Inc. |
2,075,000 | 2,111,133 | ||||||
|
|
|||||||
131,677,799 | ||||||||
|
|
|||||||
Energy - 3.0% |
||||||||
Aker BP ASA (Norway) |
||||||||
2.000% due 07/15/26 ~ |
970,000 | 873,247 | ||||||
3.000% due 01/15/25 ~ |
3,315,000 | 3,195,578 | ||||||
Canadian Natural Resources Ltd. (Canada) |
3,845,000 | 3,594,769 | ||||||
Cheniere Corpus Christi Holdings LLC |
3,835,000 | 3,864,193 | ||||||
Devon Energy Corp. |
1,005,000 | 1,009,335 | ||||||
Enbridge, Inc. (Canada) |
||||||||
2.150% due 02/16/24 |
2,350,000 | 2,281,885 | ||||||
2.500% due 01/15/25 |
3,255,000 | 3,120,323 | ||||||
2.500% due 02/14/25 |
1,580,000 | 1,513,891 | ||||||
Energy Transfer LP |
||||||||
2.900% due 05/15/25 |
640,000 | 610,240 | ||||||
4.200% due 09/15/23 |
510,000 | 508,210 | ||||||
4.250% due 04/01/24 |
135,000 | 133,311 | ||||||
4.900% due 02/01/24 |
1,835,000 | 1,824,297 | ||||||
5.875% due 01/15/24 |
4,465,000 | 4,464,419 | ||||||
Eni SpA (Italy) |
3,395,000 | 3,367,733 | ||||||
Gray Oak Pipeline LLC |
||||||||
2.000% due 09/15/23 ~ |
455,000 | 447,423 | ||||||
2.600% due 10/15/25 ~ |
1,060,000 | 983,327 | ||||||
Pioneer Natural Resources Co. |
||||||||
0.550% due 05/15/23 |
1,280,000 | 1,272,916 | ||||||
5.100% due 03/29/26 |
1,505,000 | 1,512,042 | ||||||
Sabine Pass Liquefaction LLC |
||||||||
5.625% due 03/01/25 |
2,935,000 | 2,954,814 | ||||||
5.750% due 05/15/24 |
2,633,000 | 2,639,961 | ||||||
Schlumberger Finance Canada Ltd. |
680,000 | 628,905 | ||||||
Targa Resources Corp. |
1,448,000 | 1,436,913 | ||||||
TransCanada PipeLines Ltd. (Canada) |
4,375,000 | 4,406,705 | ||||||
Williams Cos., Inc. |
||||||||
4.300% due 03/04/24 |
565,000 | 559,353 | ||||||
5.400% due 03/02/26 |
1,465,000 | 1,493,374 | ||||||
|
|
|||||||
48,697,164 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
69
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Financial - 17.6% |
| |||||||
AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland) |
||||||||
1.650% due 10/29/24 |
$5,325,000 | $4,984,764 | ||||||
4.500% due 09/15/23 |
2,095,000 | 2,075,456 | ||||||
4.875% due 01/16/24 |
2,405,000 | 2,378,668 | ||||||
American Express Co. |
||||||||
2.250% due 03/04/25 |
4,055,000 | 3,865,085 | ||||||
4.900% due 02/13/26 |
1,400,000 | 1,414,023 | ||||||
American International Group, Inc. |
2,210,000 | 2,091,979 | ||||||
American Tower Corp. |
1,730,000 | 1,644,169 | ||||||
Athene Global Funding |
||||||||
1.716% due 01/07/25 ~ |
4,235,000 | 3,939,606 | ||||||
2.514% due 03/08/24 ~ |
5,235,000 | 5,052,616 | ||||||
Avolon Holdings Funding Ltd. (Ireland) |
||||||||
2.125% due 02/21/26 ~ |
2,935,000 | 2,611,558 | ||||||
2.875% due 02/15/25 ~ |
2,400,000 | 2,253,805 | ||||||
3.950% due 07/01/24 ~ |
810,000 | 788,627 | ||||||
5.125% due 10/01/23 ~ |
1,890,000 | 1,873,149 | ||||||
Banco Bilbao Vizcaya Argentaria SA (Spain) |
4,200,000 | 4,105,425 | ||||||
Banco del Estado de Chile (Chile) |
1,010,000 | 960,535 | ||||||
Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand (Mexico) |
3,955,000 | 3,936,214 | ||||||
Banco Santander SA (Spain) |
||||||||
0.701% due 06/30/24 |
600,000 | 591,330 | ||||||
3.496% due 03/24/25 |
2,600,000 | 2,502,950 | ||||||
Bank of America Corp. |
||||||||
0.976% due 04/22/25 |
3,175,000 | 3,026,375 | ||||||
1.734% due 07/22/27 |
2,350,000 | 2,109,197 | ||||||
1.843% due 02/04/25 |
2,080,000 | 2,018,825 | ||||||
3.384% due 04/02/26 |
2,705,000 | 2,595,384 | ||||||
3.841% due 04/25/25 |
1,760,000 | 1,728,567 | ||||||
5.080% due 01/20/27 |
1,450,000 | 1,446,576 | ||||||
Bank of Ireland Group PLC (Ireland) |
5,470,000 | 5,401,783 | ||||||
Bank of Montreal (Canada) |
||||||||
3.700% due 06/07/25 |
3,475,000 | 3,377,576 | ||||||
4.250% due 09/14/24 |
1,715,000 | 1,694,710 | ||||||
Bank of New York Mellon Corp. |
2,290,000 | 2,260,758 | ||||||
Banque Federative du Credit Mutuel SA (France) |
||||||||
0.650% due 02/27/24 ~ |
2,045,000 | 1,959,353 | ||||||
0.998% due 02/04/25 ~ |
2,850,000 | 2,637,522 | ||||||
4.935% due 01/26/26 ~ |
1,590,000 | 1,572,587 | ||||||
Barclays PLC (United Kingdom) |
||||||||
1.007% due 12/10/24 |
2,235,000 | 2,154,343 | ||||||
4.338% due 05/16/24 |
1,780,000 | 1,775,779 | ||||||
5.304% due 08/09/26 |
1,405,000 | 1,377,299 | ||||||
7.325% due 11/02/26 |
1,470,000 | 1,506,804 | ||||||
BPCE SA (France) |
5,665,000 | 5,622,613 | ||||||
Brighthouse Financial Global Funding |
||||||||
0.600% due 06/28/23 ~ |
1,780,000 | 1,758,635 | ||||||
1.000% due 04/12/24 ~ |
2,535,000 | 2,422,559 | ||||||
Brixmor Operating Partnership LP |
3,295,000 | 3,192,504 | ||||||
CaixaBank SA (Spain) |
1,770,000 | 1,782,450 | ||||||
Capital One Financial Corp. |
||||||||
2.636% due 03/03/26 |
2,575,000 | 2,387,635 | ||||||
3.500% due 06/15/23 |
965,000 | 960,261 | ||||||
3.900% due 01/29/24 |
1,290,000 | 1,267,669 | ||||||
4.250% due 04/30/25 |
515,000 | 491,502 |
Principal |
Value |
|||||||
4.985% due 07/24/26 |
$ | 2,180,000 | $ | 2,103,199 | ||||
Charles Schwab Corp. |
3,705,000 | 3,324,712 | ||||||
Citigroup, Inc. |
||||||||
0.981% due 05/01/25 |
2,600,000 | 2,471,264 | ||||||
3.106% due 04/08/26 |
1,845,000 | 1,765,138 | ||||||
4.140% due 05/24/25 |
2,580,000 | 2,535,382 | ||||||
CNO Global Funding |
||||||||
1.650% due 01/06/25 ~ |
2,330,000 | 2,182,008 | ||||||
1.750% due 10/07/26 ~ |
2,970,000 | 2,664,803 | ||||||
Commonwealth Bank of Australia (Australia) |
5,705,000 | 5,805,325 | ||||||
Corebridge Financial, Inc. |
1,970,000 | 1,893,936 | ||||||
Credicorp Ltd. (Peru) |
665,000 | 620,880 | ||||||
Credit Suisse AG (Switzerland) |
1,930,000 | 1,822,017 | ||||||
Crown Castle International Corp. REIT |
||||||||
1.050% due 07/15/26 |
2,400,000 | 2,116,156 | ||||||
2.900% due 03/15/27 |
1,635,000 | 1,518,581 | ||||||
3.150% due 07/15/23 |
1,140,000 | 1,133,054 | ||||||
Crown Castle, Inc. |
555,000 | 559,711 | ||||||
Danske Bank AS (Denmark) |
||||||||
1.226% due 06/22/24 ~ |
3,715,000 | 3,668,372 | ||||||
3.773% due 03/28/25 ~ |
1,735,000 | 1,694,187 | ||||||
5.375% due 01/12/24 ~ |
1,630,000 | 1,615,385 | ||||||
Equitable Financial Life Global Funding |
2,420,000 | 2,286,907 | ||||||
Essex Portfolio LP REIT |
1,500,000 | 1,479,858 | ||||||
Fifth Third Bank NA |
3,390,000 | 3,343,811 | ||||||
First American Financial Corp. |
615,000 | 606,360 | ||||||
Goldman Sachs Group, Inc. |
||||||||
0.657% due 09/10/24 |
2,430,000 | 2,375,537 | ||||||
0.925% due 10/21/24 |
1,590,000 | 1,547,471 | ||||||
1.757% due 01/24/25 |
2,490,000 | 2,410,824 | ||||||
3.500% due 04/01/25 |
2,620,000 | 2,545,483 | ||||||
4.482% due 08/23/28 |
1,945,000 | 1,903,892 | ||||||
HSBC Holdings PLC (United Kingdom) |
||||||||
1.162% due 11/22/24 |
1,485,000 | 1,441,470 | ||||||
1.645% due 04/18/26 |
2,375,000 | 2,170,703 | ||||||
2.099% due 06/04/26 |
1,585,000 | 1,456,711 | ||||||
Jackson Financial, Inc. |
2,155,000 | 2,091,097 | ||||||
Jackson National Life Global Funding |
2,835,000 | 2,656,777 | ||||||
JPMorgan Chase & Co. |
||||||||
0.824% due 06/01/25 |
2,830,000 | 2,683,245 | ||||||
2.083% due 04/22/26 |
4,500,000 | 4,213,133 | ||||||
4.080% due 04/26/26 |
2,570,000 | 2,524,688 | ||||||
5.506% (SOFR + 0.885%) due 04/22/27 § |
1,950,000 | 1,924,856 | ||||||
LeasePlan Corp. NV (Netherlands) |
2,985,000 | 2,837,669 | ||||||
Lloyds Banking Group PLC (United Kingdom) |
1,625,000 | 1,575,912 | ||||||
LSEGA Financing PLC (United Kingdom) |
||||||||
0.650% due 04/06/24 ~ |
2,875,000 | 2,737,168 | ||||||
2.000% due 04/06/28 ~ |
920,000 | 790,408 | ||||||
Marsh & McLennan Cos., Inc. |
||||||||
3.750% due 03/14/26 |
435,000 | 425,843 | ||||||
3.875% due 03/15/24 |
1,815,000 | 1,789,919 | ||||||
Mitsubishi UFJ Financial Group, Inc. (Japan) |
||||||||
0.953% due 07/19/25 |
4,750,000 | 4,475,066 | ||||||
5.063% due 09/12/25 |
1,140,000 | 1,132,837 | ||||||
5.719% due 02/20/26 |
2,510,000 | 2,518,199 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
70
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Morgan Stanley |
| |||||||
0.731% due 04/05/24 |
$2,085,000 | $2,084,398 | ||||||
1.164% due 10/21/25 |
2,150,000 | 2,009,155 | ||||||
2.630% due 02/18/26 |
2,470,000 | 2,346,115 | ||||||
3.620% due 04/17/25 |
2,660,000 | 2,612,610 | ||||||
5.050% due 01/28/27 |
670,000 | 668,658 | ||||||
5.108% (SOFR + 0.455%) due 01/25/24 § |
1,745,000 | 1,740,112 | ||||||
NatWest Markets PLC (United Kingdom) |
||||||||
0.800% due 08/12/24 ~ |
1,055,000 | 987,763 | ||||||
2.375% due 05/21/23 ~ |
2,970,000 | 2,954,479 | ||||||
3.479% due 03/22/25 ~ |
875,000 | 836,731 | ||||||
Northern Trust Corp. |
1,405,000 | 1,346,356 | ||||||
Northwestern Mutual Global Funding |
2,040,000 | 2,022,992 | ||||||
Park Aerospace Holdings Ltd. (Ireland) |
505,000 | 500,509 | ||||||
PNC Financial Services Group, Inc. |
||||||||
4.758% due 01/26/27 |
1,280,000 | 1,265,117 | ||||||
5.671% due 10/28/25 |
2,170,000 | 2,172,694 | ||||||
Principal Life Global Funding II |
1,230,000 | 1,176,189 | ||||||
Public Storage REIT |
1,045,000 | 1,040,259 | ||||||
QNB Finance Ltd. (Qatar) |
||||||||
2.625% due 05/12/25 ~ |
4,330,000 | 4,123,840 | ||||||
3.500% due 03/28/24 ~ |
2,320,000 | 2,282,555 | ||||||
Realty Income Corp. |
625,000 | 623,209 | ||||||
Santander Holdings USA, Inc. |
1,730,000 | 1,497,748 | ||||||
SBA Tower Trust REIT |
||||||||
1.631% due 05/15/51 ~ |
1,045,000 | 916,524 | ||||||
1.884% due 07/15/50 ~ |
725,000 | 655,785 | ||||||
2.836% due 01/15/50 ~ |
2,045,000 | 1,938,706 | ||||||
6.599% due 01/15/28 ~ |
990,000 | 1,046,676 | ||||||
Simon Property Group LP REIT |
||||||||
2.000% due 09/13/24 |
1,099,000 | 1,050,135 | ||||||
3.375% due 10/01/24 |
2,250,000 | 2,198,306 | ||||||
Societe Generale SA (France) |
335,000 | 316,776 | ||||||
Standard Chartered PLC (United Kingdom) |
||||||||
0.991% due 01/12/25 ~ |
1,100,000 | 1,058,170 | ||||||
1.822% due 11/23/25 ~ |
1,325,000 | 1,233,667 | ||||||
State Street Corp. |
1,090,000 | 1,083,233 | ||||||
Svenska Handelsbanken AB (Sweden) |
||||||||
0.550% due 06/11/24 ~ |
1,520,000 | 1,439,345 | ||||||
1.418% due 06/11/27 ~ |
2,165,000 | 1,922,289 | ||||||
Swedbank AB (Sweden) |
2,205,000 | 2,187,152 | ||||||
Synchrony Financial |
4,015,000 | 3,797,623 | ||||||
Toronto-Dominion Bank (Canada) |
2,920,000 | 2,746,816 | ||||||
Truist Financial Corp. |
1,495,000 | 1,432,007 | ||||||
UBS Group AG (Switzerland) |
||||||||
1.008% due 07/30/24 ~ |
3,455,000 | 3,386,813 | ||||||
1.494% due 08/10/27 ~ |
1,025,000 | 883,720 | ||||||
4.488% due 05/12/26 ~ |
810,000 | 781,852 | ||||||
4.490% due 08/05/25 ~ |
2,225,000 | 2,171,895 | ||||||
US Bancorp |
||||||||
4.548% due 07/22/28 |
2,510,000 | 2,447,909 | ||||||
5.727% due 10/21/26 |
1,215,000 | 1,221,393 | ||||||
Wells Fargo & Co. |
||||||||
1.654% due 06/02/24 |
1,780,000 | 1,768,675 | ||||||
2.188% due 04/30/26 |
1,825,000 | 1,711,595 | ||||||
3.526% due 03/24/28 |
1,495,000 | 1,411,835 | ||||||
3.908% due 04/25/26 |
2,260,000 | 2,195,257 | ||||||
4.540% due 08/15/26 |
2,065,000 | 2,028,851 |
Principal |
Value |
|||||||
Western Union Co. |
$ 4,945,000 | $ 4,722,545 | ||||||
|
|
|||||||
287,086,218 | ||||||||
|
|
|||||||
Industrial - 1.9% |
||||||||
Amcor Flexibles North America, Inc. |
1,820,000 | 1,783,378 | ||||||
Amphenol Corp. |
||||||||
2.050% due 03/01/25 |
2,380,000 | 2,267,534 | ||||||
4.750% due 03/30/26 |
875,000 | 879,038 | ||||||
Canadian Pacific Railway Co. (Canada) |
||||||||
1.350% due 12/02/24 |
3,510,000 | 3,308,496 | ||||||
1.750% due 12/02/26 |
1,100,000 | 997,730 | ||||||
Carrier Global Corp. |
649,000 | 619,588 | ||||||
DAE Funding LLC (United Arab Emirates) |
990,000 | 931,624 | ||||||
GATX Corp. |
||||||||
3.250% due 03/30/25 |
2,258,000 | 2,162,830 | ||||||
4.350% due 02/15/24 |
1,905,000 | 1,882,089 | ||||||
Kansas City Southern |
1,940,000 | 1,932,875 | ||||||
Martin Marietta Materials, Inc. |
855,000 | 842,683 | ||||||
Otis Worldwide Corp. |
2,670,000 | 2,521,481 | ||||||
Parker-Hannifin Corp. |
2,800,000 | 2,758,794 | ||||||
Penske Truck Leasing Co. Lp/PTL Finance Corp. |
1,553,000 | 1,512,493 | ||||||
Regal Rexnord Corp. |
1,605,000 | 1,613,700 | ||||||
Republic Services, Inc. |
||||||||
2.500% due 08/15/24 |
1,725,000 | 1,671,615 | ||||||
4.875% due 04/01/29 |
715,000 | 723,213 | ||||||
SMBC Aviation Capital Finance DAC (Ireland) |
||||||||
3.550% due 04/15/24 ~ |
1,645,000 | 1,605,761 | ||||||
4.125% due 07/15/23 ~ |
766,000 | 761,007 | ||||||
|
|
|||||||
30,775,929 | ||||||||
|
|
|||||||
Technology - 2.2% |
||||||||
CDW LLC/CDW Finance Corp. |
655,000 | 654,892 | ||||||
Fidelity National Information Services, Inc. |
||||||||
0.600% due 03/01/24 |
1,225,000 | 1,171,852 | ||||||
4.500% due 07/15/25 |
1,355,000 | 1,340,681 | ||||||
Fiserv, Inc. |
||||||||
2.750% due 07/01/24 |
4,595,000 | 4,459,703 | ||||||
3.800% due 10/01/23 |
1,070,000 | 1,060,214 | ||||||
Fortinet, Inc. |
1,890,000 | 1,697,405 | ||||||
Intel Corp. |
1,660,000 | 1,681,869 | ||||||
Marvell Technology, Inc. |
2,070,000 | 2,061,320 | ||||||
Microchip Technology, Inc. |
||||||||
0.972% due 02/15/24 |
2,770,000 | 2,659,946 | ||||||
0.983% due 09/01/24 |
2,900,000 | 2,738,474 | ||||||
2.670% due 09/01/23 |
2,125,000 | 2,095,483 | ||||||
NXP BV/NXP Funding LLC/NXP USA, Inc. (China) |
||||||||
2.700% due 05/01/25 |
2,030,000 | 1,927,675 | ||||||
3.875% due 06/18/26 |
1,455,000 | 1,405,961 | ||||||
4.400% due 06/01/27 |
355,000 | 350,895 | ||||||
4.875% due 03/01/24 |
1,605,000 | 1,593,486 | ||||||
Oracle Corp. |
1,425,000 | 1,461,233 | ||||||
Qorvo, Inc. |
1,160,000 | 1,078,023 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
71
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Roper Technologies, Inc. |
||||||||
1.000% due 09/15/25 |
$ 510,000 | $ 466,625 | ||||||
2.350% due 09/15/24 |
670,000 | 645,289 | ||||||
Skyworks Solutions, Inc. |
650,000 | 644,571 | ||||||
Take-Two Interactive Software, Inc. |
||||||||
3.300% due 03/28/24 |
2,090,000 | 2,044,855 | ||||||
3.550% due 04/14/25 |
535,000 | 521,316 | ||||||
VMware, Inc. |
1,375,000 | 1,349,285 | ||||||
Workday, Inc. |
1,230,000 | 1,177,649 | ||||||
|
|
|||||||
36,288,702 | ||||||||
|
|
|||||||
Utilities - 3.0% |
||||||||
AES Corp. |
1,865,000 | 1,770,648 | ||||||
Alexander Funding Trust |
1,885,000 | 1,828,999 | ||||||
APA Infrastructure Ltd. (Australia) |
5,205,000 | 5,101,301 | ||||||
Constellation Energy Generation LLC |
1,350,000 | 1,390,555 | ||||||
DTE Energy Co. |
2,460,000 | 2,433,864 | ||||||
Enel Finance International NV (Italy) |
||||||||
1.375% due 07/12/26 ~ |
3,230,000 | 2,878,677 | ||||||
2.650% due 09/10/24 ~ |
4,020,000 | 3,882,373 | ||||||
6.800% due 10/14/25 ~ |
500,000 | 517,197 | ||||||
Israel Electric Corp. Ltd. (Israel) |
||||||||
5.000% due 11/12/24 ~ |
3,600,000 | 3,556,839 | ||||||
6.875% due 06/21/23 ~ |
565,000 | 565,927 | ||||||
NextEra Energy Capital Holdings, Inc. |
||||||||
1.875% due 01/15/27 |
2,360,000 | 2,135,553 | ||||||
4.450% due 06/20/25 |
1,695,000 | 1,684,587 | ||||||
6.051% due 03/01/25 |
770,000 | 783,722 | ||||||
NiSource, Inc. |
535,000 | 544,647 | ||||||
NRG Energy, Inc. |
1,125,000 | 1,091,882 | ||||||
Pacific Gas and Electric Co. |
2,010,000 | 1,917,906 | ||||||
Sempra Energy |
1,775,000 | 1,719,019 | ||||||
Southern California Gas Co. |
1,395,000 | 1,307,977 | ||||||
Southern Co. |
1,420,000 | 1,355,113 | ||||||
Tenaga Nasional Bhd (Malaysia) |
1,200,000 | 1,262,263 | ||||||
Vistra Operations Co. LLC |
||||||||
3.550% due 07/15/24 ~ |
9,955,000 | 9,616,584 | ||||||
5.125% due 05/13/25 ~ |
2,485,000 | 2,424,628 | ||||||
|
|
|||||||
49,770,261 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
|
732,129,534 | ||||||
|
|
|||||||
MORTGAGE-BACKED SECURITIES - 13.3% |
| |||||||
Collateralized Mortgage Obligations - Commercial - 4.0% |
| |||||||
280 Park Avenue Mortgage Trust |
1,640,000 | 1,593,262 | ||||||
BAMLL Commercial Mortgage Securities Trust |
||||||||
3.490% due 04/14/33 ~ |
1,775,000 | 1,625,408 | ||||||
5.535% (USD LIBOR + 0.850%) due 09/15/34 § ~ |
4,770,000 | 4,665,791 | ||||||
6.684% (USD LIBOR + 2.000%) due 09/15/38 § ~ |
1,570,000 | 1,422,426 |
Principal |
Value |
|||||||
Bank |
||||||||
2.056% due 11/15/62 |
$252,068 | $245,674 | ||||||
2.263% due 08/15/61 |
395,571 | 374,274 | ||||||
BCP Trust |
1,045,000 | 964,883 | ||||||
BIG Commercial Mortgage Trust |
755,000 | 713,335 | ||||||
BPR Trust |
1,585,000 | 1,488,502 | ||||||
BSREP Commercial Mortgage Trust |
700,000 | 598,435 | ||||||
BX Commercial Mortgage Trust |
||||||||
5.964% (USD LIBOR + 1.280%) |
935,000 | 887,745 | ||||||
6.022% (SOFR + 1.194%) due 10/15/36 § ~ |
1,249,500 | 1,227,342 | ||||||
6.085% (USD LIBOR + 1.400%) |
1,372,871 | 1,290,840 | ||||||
7.968% (SOFR + 3.141%) |
1,815,000 | 1,779,706 | ||||||
CGDB Commercial Mortgage Trust |
2,615,000 | 2,453,349 | ||||||
Cold Storage Trust |
1,484,316 | 1,441,756 | ||||||
Commercial Mortgage Trust |
||||||||
3.838% due 09/10/47 |
2,825,000 | 2,735,505 | ||||||
3.926% due 03/10/48 § |
845,000 | 793,567 | ||||||
4.070% due 03/10/48 § |
1,770,000 | 1,607,642 | ||||||
4.080% due 08/10/47 |
1,760,000 | 1,693,725 | ||||||
4.353% due 08/10/30 ~ |
1,180,000 | 1,136,930 | ||||||
4.622% due 02/10/47 § |
1,715,000 | 1,665,483 | ||||||
4.698% due 08/10/47 § ~ |
710,000 | 614,848 | ||||||
Credit Suisse Mortgage Capital Certificates |
||||||||
6.114% (USD LIBOR + 1.430%) |
2,134,689 | 2,098,562 | ||||||
6.284% (USD LIBOR + 1.600%) |
1,571,091 | 1,536,790 | ||||||
CSAIL Commercial Mortgage Trust |
391,596 | 381,343 | ||||||
Extended Stay America Trust |
||||||||
5.765% (USD LIBOR + 1.080%) |
751,668 | 729,709 | ||||||
6.385% (USD LIBOR + 1.700%) |
1,679,051 | 1,629,310 | ||||||
Fontainebleau Miami Beach Trust |
1,715,000 | 1,615,421 | ||||||
GCT Commercial Mortgage Trust |
1,325,000 | 1,216,920 | ||||||
Great Wolf Trust |
1,055,000 | 1,025,845 | ||||||
GS Mortgage Securities Corp. Trust |
1,440,000 | 1,270,371 | ||||||
JP Morgan Chase Commercial Mortgage Securities Trust |
||||||||
6.455% (USD LIBOR + 1.770%) |
2,345,000 | 2,062,975 | ||||||
6.534% (USD LIBOR + 1.850%) |
1,025,000 | 907,648 | ||||||
6.855% (USD LIBOR + 2.170%) |
1,890,000 | 1,581,993 | ||||||
JPMBB Commercial Mortgage Securities Trust |
2,420,000 | 2,354,649 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
72
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
KIND Trust |
$2,050,183 | $1,910,379 | ||||||
KKR Industrial Portfolio Trust |
||||||||
5.942% (SOFR + 1.114%) |
660,000 | 630,897 | ||||||
6.192% (SOFR + 1.364%) |
476,250 | 450,922 | ||||||
Morgan Stanley Bank of America Merrill Lynch Trust |
775,000 | 744,527 | ||||||
Morgan Stanley Capital I Trust |
775,000 | 610,932 | ||||||
New Orleans Hotel Trust |
2,575,999 | 2,449,471 | ||||||
ONE Mortgage Trust |
||||||||
5.892% (SOFR + 1.064%) |
2,945,000 | 2,711,108 | ||||||
6.042% (SOFR + 1.214%) |
1,580,000 | 1,450,632 | ||||||
RLGH Trust |
1,370,000 | 1,322,568 | ||||||
WFRBS Commercial Mortgage Trust |
1,465,000 | 1,438,479 | ||||||
|
|
|||||||
65,151,879 | ||||||||
|
|
|||||||
Collateralized Mortgage Obligations - Residential - 5.9% |
|
|||||||
Angel Oak Mortgage Trust |
||||||||
0.909% due 01/25/66 § ~ |
1,237,851 | 1,037,036 | ||||||
0.985% due 04/25/66 § ~ |
977,178 | 821,854 | ||||||
1.068% due 05/25/66 § ~ |
792,649 | 655,829 | ||||||
1.579% due 05/25/65 § ~ |
310,092 | 281,424 | ||||||
2.872% due 04/25/65 § ~ |
215,124 | 199,234 | ||||||
Angel Oak Mortgage Trust I LLC |
3,348 | 3,338 | ||||||
Barclays Mortgage Loan Trust |
1,953,324 | 1,698,124 | ||||||
Bayview MSR Opportunity Master Fund Trust (Cayman) |
1,650,758 | 1,439,371 | ||||||
BINOM Securitization Trust |
653,821 | 572,754 | ||||||
BRAVO Residential Funding Trust |
1,071,643 | 967,500 | ||||||
CIM Trust |
1,307,565 | 1,080,711 | ||||||
CIM TRUST |
2,776,378 | 2,670,127 | ||||||
COLT Mortgage Loan Trust |
||||||||
1.167% due 06/25/66 § ~ |
965,601 | 785,199 | ||||||
1.506% due 04/27/65 § ~ |
140,959 | 131,108 | ||||||
Connecticut Avenue Securities Trust |
||||||||
5.560% (SOFR + 1.000%) |
970,895 | 959,966 | ||||||
6.560% (SOFR + 2.000%) |
968,526 | 969,591 | ||||||
6.660% (SOFR + 2.100%) |
1,474,211 | 1,472,167 | ||||||
7.110% (SOFR + 2.550%) |
656,550 | 661,153 | ||||||
7.518% (SOFR + 2.950%) |
1,559,128 | 1,588,231 | ||||||
Deephaven Residential Mortgage Trust |
||||||||
0.899% due 04/25/66 § ~ |
401,461 | 345,162 | ||||||
0.973% due 05/25/65 § ~ |
230,919 | 207,365 | ||||||
1.260% due 04/25/66 § ~ |
439,437 | 376,194 |
Principal |
Value |
|||||||
Eagle RE Ltd. (Bermuda) |
$722,146 | $720,264 | ||||||
Ellington Financial Mortgage Trust |
||||||||
0.797% due 02/25/66 § ~ |
277,359 | 232,761 | ||||||
0.931% due 06/25/66 § ~ |
590,670 | 477,579 | ||||||
1.106% due 02/25/66 § ~ |
238,245 | 196,738 | ||||||
1.291% due 06/25/66 § ~ |
569,135 | 455,450 | ||||||
1.550% due 09/25/66 § ~ |
565,574 | 426,757 | ||||||
3.046% due 11/25/59 § ~ |
206,368 | 191,606 | ||||||
Fannie Mae |
1,897,222 | 1,770,713 | ||||||
Fannie Mae Connecticut Avenue Securities |
||||||||
6.045% (USD LIBOR + 1.200%) |
36,748 | 36,739 | ||||||
9.295% (USD LIBOR + 4.450%) |
623,077 | 651,475 | ||||||
Federal Home Loan Mortgage Corp. STACR REMIC Trust |
931,203 | 934,110 | ||||||
Flagstar Mortgage Trust |
||||||||
4.000% due 09/25/48 § ~ |
185,826 | 179,951 | ||||||
5.467% (USD LIBOR + 0.850%) due 03/25/50 § ~ |
400,103 | 368,195 | ||||||
Freddie Mac |
||||||||
5.860% (SOFR + 1.300%) |
4,110,535 | 4,071,159 | ||||||
6.710% (SOFR + 2.150%) |
616,793 | 618,636 | ||||||
7.510% (SOFR + 2.950%) |
1,186,072 | 1,207,043 | ||||||
Freddie Mac STACR Trust |
||||||||
5.260% (SOFR + 0.700%) |
13,255 | 13,252 | ||||||
6.210% (SOFR + 1.650%) |
720,434 | 707,368 | ||||||
6.360% (SOFR + 1.800%) |
1,160,000 | 1,103,702 | ||||||
6.560% (SOFR + 2.000%) |
4,104,989 | 4,106,800 | ||||||
6.660% (SOFR + 2.100%) |
1,918,450 | 1,919,102 | ||||||
6.695% (USD LIBOR + 1.850%) |
1,154,423 | 1,147,871 | ||||||
6.760% (SOFR + 2.200%) |
2,222,860 | 2,233,961 | ||||||
7.000% due 09/15/30 |
93,845 | 97,241 | ||||||
7.945% (USD LIBOR + 3.100%) |
624,103 | 639,951 | ||||||
Freddie Mac Structured Agency Credit Risk Debt Notes |
||||||||
3.863% due 05/25/47 § ~ |
175,394 | 170,628 | ||||||
5.360% (SOFR + 0.800%) |
44,309 | 44,257 | ||||||
Galton Funding Mortgage Trust |
||||||||
2.832% due 01/25/60 § ~ |
1,085,000 | 807,327 | ||||||
3.339% due 10/25/59 § ~ |
680,000 | 614,821 | ||||||
3.500% due 11/25/57 § ~ |
225,469 | 205,279 | ||||||
4.000% due 02/25/59 § ~ |
100,984 | 95,823 | ||||||
4.500% due 02/25/59 § ~ |
138,165 | 133,773 | ||||||
GS Mortgage-Backed Securities Corp. Trust |
2,562,228 | 2,222,482 | ||||||
GS Mortgage-Backed Securities Trust |
||||||||
2.500% due 06/25/52 § ~ |
3,239,697 | 2,810,120 | ||||||
3.207% due 07/25/44 § ~ |
16,926 | 16,659 | ||||||
Hundred Acre Wood Trust |
1,662,641 | 1,456,083 | ||||||
Imperial Fund Mortgage Trust |
||||||||
1.516% due 09/25/56 § ~ |
935,629 | 734,067 | ||||||
4.767% due 06/25/67 § ~ |
1,499,401 | 1,441,612 | ||||||
JP Morgan Mortgage Trust |
| |||||||
3.000% due 10/25/50 § ~ |
445,039 | 384,125 | ||||||
3.500% due 08/25/50 § ~ |
290,457 | 260,389 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
73
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Mello Mortgage Capital Acceptance |
$ 1,410,746 | $ 1,223,684 | ||||||
MFA Trust |
532,900 | 472,506 | ||||||
New Residential Mortgage Loan Trust |
||||||||
2.500% due 06/25/51 § ~ |
1,092,461 | 950,323 | ||||||
2.500% due 09/25/51 § ~ |
2,953,416 | 2,569,154 | ||||||
NLT Trust |
812,942 | 647,227 | ||||||
OBX Trust |
||||||||
1.054% due 07/25/61 § ~ |
380,150 | 290,946 | ||||||
2.500% due 05/25/51 § ~ |
1,891,568 | 1,640,750 | ||||||
3.000% due 01/25/60 § ~ |
541,655 | 469,504 | ||||||
3.000% due 05/25/60 § ~ |
1,056,894 | 912,963 | ||||||
3.500% due 12/25/49 § ~ |
167,741 | 149,878 | ||||||
3.500% due 02/25/60 § ~ |
599,301 | 535,402 | ||||||
5.456% (USD LIBOR + 1.200%) |
126,849 | 121,174 | ||||||
5.595% (USD LIBOR + 0.750%) |
331,871 | 307,697 | ||||||
5.745% (USD LIBOR + 0.900%) |
106,961 | 103,762 | ||||||
5.795% (USD LIBOR + 0.950%) |
542,676 | 506,499 | ||||||
Oceanview Mortgage Trust |
1,521,659 | 1,319,890 | ||||||
PSMC Trust |
||||||||
2.500% due 03/25/51 § ~ |
2,697,685 | 2,365,271 | ||||||
2.500% due 05/25/51 § ~ |
1,199,611 | 1,043,532 | ||||||
Sequoia Mortgage Trust |
||||||||
4.000% due 06/25/48 § ~ |
236,507 | 222,626 | ||||||
4.000% due 08/25/48 § ~ |
66,416 | 64,605 | ||||||
4.000% due 10/25/48 § ~ |
5,920 | 5,862 | ||||||
4.500% due 08/25/48 § ~ |
16,395 | 16,012 | ||||||
SG Residential Mortgage Trust |
||||||||
1.381% due 05/25/65 § ~ |
397,354 | 344,530 | ||||||
3.166% due 03/27/62 § ~ |
1,964,388 | 1,773,180 | ||||||
Starwood Mortgage Residential Trust |
||||||||
0.943% due 05/25/65 § ~ |
883,966 | 792,678 | ||||||
1.162% due 08/25/56 § ~ |
2,320,723 | 1,926,880 | ||||||
2.408% due 02/25/50 § ~ |
722,245 | 688,623 | ||||||
2.916% due 09/27/49 § ~ |
665,197 | 633,699 | ||||||
Towd Point Mortgage Trust |
||||||||
3.250% due 07/25/58 § ~ |
729,245 | 702,932 | ||||||
3.750% due 03/25/58 § ~ |
839,845 | 800,517 | ||||||
3.750% due 05/25/58 § ~ |
1,568,816 | 1,503,624 | ||||||
3.750% due 09/25/62 ~ |
2,866,795 | 2,692,813 | ||||||
TRK Trust |
433,600 | 371,042 | ||||||
UWM Mortgage Trust |
541,907 | 470,052 | ||||||
Verus Securitization Trust |
||||||||
0.918% due 02/25/64 § ~ |
708,408 | 609,060 | ||||||
1.031% due 02/25/66 § ~ |
655,598 | 559,058 | ||||||
1.052% due 01/25/66 § ~ |
521,915 | 433,085 | ||||||
1.155% due 01/25/66 § ~ |
310,759 | 254,605 | ||||||
1.373% due 09/25/66 § ~ |
785,042 | 618,667 | ||||||
1.829% due 10/25/66 § ~ |
2,921,762 | 2,488,271 | ||||||
1.977% due 03/25/60 § ~ |
61,732 | 60,286 | ||||||
2.226% due 05/25/60 § ~ |
445,149 | 429,093 | ||||||
2.913% due 07/25/59 § ~ |
388,274 | 376,205 | ||||||
3.117% due 07/25/59 § ~ |
517,100 | 501,031 | ||||||
3.288% due 01/25/67 § ~ |
3,148,438 | 2,661,406 | ||||||
Vista Point Securitization Trust |
225,974 | 199,972 | ||||||
Wells Fargo Mortgage-Backed Securities Trust |
||||||||
2.500% due 12/25/50 § ~ |
2,230,332 | 1,955,694 | ||||||
2.500% due 09/25/51 § ~ |
1,723,460 | 1,494,932 | ||||||
|
|
|||||||
96,110,509 | ||||||||
|
|
Principal |
Value |
|||||||
Fannie Mae - 1.7% |
| |||||||
2.000% due 10/01/50 |
$ 676,114 | $ 562,275 | ||||||
2.500% due 01/01/52 |
1,579,327 | 1,365,088 | ||||||
3.000% due 09/01/28 - 06/01/52 |
5,468,292 | 5,038,473 | ||||||
3.096% (UST + 2.258%) |
65,649 | 64,548 | ||||||
3.500% due 01/01/44 - 01/01/52 |
1,548,161 | 1,459,855 | ||||||
3.851% (UST + 2.259%) due 06/01/33 § |
236,841 | 242,841 | ||||||
3.983% (USD LIBOR + 1.502%) |
18,343 | 17,964 | ||||||
4.000% due 03/01/41 - 09/01/52 |
3,272,306 | 3,137,752 | ||||||
4.230% (USD LIBOR + 1.605%) due 04/01/33 § |
17,362 | 16,989 | ||||||
4.398% (UST + 2.215%) due 02/01/33 § |
35,745 | 34,918 | ||||||
4.500% due 05/01/41 - 08/01/52 |
8,415,277 | 8,293,603 | ||||||
4.912% (USD LIBOR + 1.543%) due 01/01/35 § |
2,248 | 2,268 | ||||||
5.000% due 07/01/24 - 02/01/49 |
1,350,083 | 1,378,354 | ||||||
5.500% due 01/01/36 - 02/01/49 |
2,623,410 | 2,724,523 | ||||||
6.000% due 03/01/37 - 02/01/49 |
2,567,821 | 2,695,450 | ||||||
6.500% due 05/01/33 |
251,364 | 262,022 | ||||||
7.000% due 06/01/33 |
123,923 | 127,374 | ||||||
|
|
|||||||
27,424,297 | ||||||||
|
|
|||||||
Freddie Mac - 0.5% |
||||||||
2.500% due 01/01/52 |
1,630,930 | 1,417,137 | ||||||
3.500% due 02/01/52 |
2,668,150 | 2,492,101 | ||||||
3.900% (UST + 2.250%) due 08/01/35 § |
145,825 | 148,610 | ||||||
4.000% due 12/01/49 - 09/01/52 |
1,231,416 | 1,182,352 | ||||||
4.076% (UST + 1.951%) due 02/01/35 § |
54,278 | 52,921 | ||||||
4.269% (UST + 2.179%) due 09/01/35 § |
87,618 | 87,591 | ||||||
4.500% due 09/01/37 - 05/01/50 |
782,157 | 779,878 | ||||||
5.000% due 12/01/41 - 03/01/50 |
2,109,674 | 2,136,853 | ||||||
5.500% due 07/01/38 - 06/01/41 |
262,375 | 272,938 | ||||||
7.000% due 03/01/39 |
170,620 | 179,261 | ||||||
7.500% due 06/01/38 |
154,789 | 161,928 | ||||||
|
|
|||||||
8,911,570 | ||||||||
|
|
|||||||
Government National Mortgage Association - 1.2% |
|
|||||||
2.625% (UST + 1.500%) due 09/20/34 - 01/20/35 § |
694,390 | 685,890 | ||||||
3.000% due 09/20/47 |
3,607,070 | 3,330,105 | ||||||
3.500% due 10/20/52 - 12/20/52 |
4,551,295 | 4,270,325 | ||||||
4.000% due 10/20/50 - 10/20/52 |
3,008,759 | 2,904,634 | ||||||
4.500% due 08/20/47 - 10/20/52 |
3,991,293 | 3,938,557 | ||||||
5.000% due 12/20/34 - 05/20/48 |
1,352,887 | 1,382,535 | ||||||
5.500% due 09/15/45 - 02/20/49 |
1,210,977 | 1,261,444 | ||||||
due 04/20/53 # |
1,975,000 | 1,997,489 | ||||||
6.000% due 07/15/36 |
172,994 | 182,242 | ||||||
|
|
|||||||
19,953,221 | ||||||||
|
|
|||||||
Total Mortgage-Backed Securities |
|
217,551,476 | ||||||
|
|
|||||||
ASSET-BACKED SECURITIES - 12.1% |
||||||||
AmeriCredit Automobile Receivables Trust |
||||||||
0.890% due 10/19/26 |
1,665,000 | 1,552,837 | ||||||
0.970% due 02/18/26 |
743,490 | 732,085 | ||||||
1.060% due 08/18/26 |
980,000 | 919,764 | ||||||
1.210% due 12/18/26 |
1,030,000 | 938,254 | ||||||
1.290% due 06/18/27 |
2,095,000 | 1,889,720 | ||||||
1.590% due 10/20/25 |
1,215,000 | 1,184,514 | ||||||
1.800% due 12/18/25 |
1,175,000 | 1,121,112 | ||||||
2.770% due 04/19/27 |
4,310,000 | 4,097,795 | ||||||
4.810% due 04/18/28 |
4,195,000 | 4,173,536 | ||||||
5.800% due 12/18/28 |
1,150,000 | 1,172,453 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
74
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Amur Equipment Finance Receivables X LLC |
$ 673,762 | $ 645,303 | ||||||
ARI Fleet Lease Trust |
4,110,000 | 4,109,878 | ||||||
Avis Budget Rental Car Funding AESOP LLC |
||||||||
2.330% due 08/20/26 ~ |
930,000 | 874,191 | ||||||
3.350% due 09/22/25 ~ |
1,355,000 | 1,318,958 | ||||||
4.950% due 03/20/25 ~ |
745,000 | 729,941 | ||||||
Blackbird Capital Aircraft Lease Securitization Ltd. |
612,091 | 586,416 | ||||||
BRE Grand Islander Timeshare Issuer LLC |
287,443 | 274,025 | ||||||
CarMax Auto Owner Trust |
||||||||
1.090% due 03/16/26 |
2,730,000 | 2,588,441 | ||||||
3.010% due 12/16/24 |
3,280,000 | 3,265,895 | ||||||
CBAM Ltd. (Cayman) |
5,239,416 | 5,215,920 | ||||||
Cedar Funding XIV CLO Ltd. (Cayman) |
2,230,000 | 2,201,904 | ||||||
CIFC Funding Ltd. (Cayman) |
3,721,371 | 3,692,732 | ||||||
CNH Equipment Trust |
||||||||
1.510% due 04/15/27 |
1,125,000 | 1,090,707 | ||||||
2.010% due 12/16/24 |
385,200 | 383,063 | ||||||
Drive Auto Receivables Trust |
1,070,000 | 996,818 | ||||||
Dryden 86 CLO Ltd. (Cayman) |
2,225,000 | 2,162,190 | ||||||
Elara HGV Timeshare Issuer LLC |
||||||||
2.690% due 03/25/30 ~ |
231,828 | 223,525 | ||||||
2.730% due 04/25/28 ~ |
422,021 | 421,098 | ||||||
Exeter Automobile Receivables Trust |
||||||||
2.560% due 06/15/28 |
405,000 | 389,233 | ||||||
3.020% due 06/15/28 |
995,000 | 921,720 | ||||||
3.850% due 07/17/28 |
2,130,000 | 2,070,120 | ||||||
5.700% due 08/17/26 |
305,000 | 305,258 | ||||||
5.980% due 12/15/28 |
945,000 | 935,728 | ||||||
6.320% due 05/15/28 |
715,000 | 728,137 | ||||||
6.510% due 12/15/27 |
2,940,000 | 2,989,079 | ||||||
6.690% due 06/15/29 |
245,000 | 247,421 | ||||||
Finance of America HECM Buyout |
||||||||
4.000% due 08/01/32 § ~ |
2,718,355 | 2,637,788 | ||||||
FirstKey Homes Trust |
||||||||
1.339% due 08/17/37 ~ |
2,941,434 | 2,693,864 | ||||||
1.968% due 10/19/37 ~ |
2,580,000 | 2,319,104 | ||||||
2.241% due 08/17/37 ~ |
3,355,000 | 3,056,613 | ||||||
Ford Credit Auto Lease Trust |
||||||||
4.180% due 10/15/25 |
3,385,000 | 3,317,942 | ||||||
5.540% due 12/15/26 |
1,060,000 | 1,048,747 | ||||||
Ford Credit Auto Owner Trust |
||||||||
1.740% due 04/15/33 ~ |
1,355,000 | 1,231,937 | ||||||
3.520% due 07/15/30 ~ |
4,155,000 | 4,096,254 | ||||||
5.070% due 01/15/29 |
3,820,000 | 3,814,174 | ||||||
Ford Credit Floorplan Master Owner Trust Class C |
1,885,000 | 1,842,210 | ||||||
GM Financial Automobile Leasing Trust |
||||||||
5.130% due 08/20/26 |
2,425,000 | 2,409,741 | ||||||
5.760% due 01/20/27 |
2,920,000 | 2,923,299 | ||||||
GM Financial Consumer Automobile Receivables Trust |
||||||||
1.050% due 05/18/26 |
1,005,000 | 940,631 | ||||||
1.490% due 12/16/24 |
115,004 | 114,008 | ||||||
5.030% due 09/18/28 |
520,000 | 521,376 |
Principal |
Value |
|||||||
GMF Floorplan Owner Revolving Trust |
$ 830,000 | $ 815,209 | ||||||
Hilton Grand Vacations Trust |
||||||||
2.660% due 12/26/28 ~ |
183,002 | 181,309 | ||||||
2.740% due 02/25/39 ~ |
691,185 | 652,217 | ||||||
2.960% due 12/26/28 ~ |
51,009 | 50,323 | ||||||
HPEFS Equipment Trust |
||||||||
5.910% due 04/20/28 |
1,495,000 | 1,495,300 | ||||||
6.130% due 08/20/29 |
3,555,000 | 3,596,758 | ||||||
Hyundai Auto Receivables Trust |
||||||||
1.410% due 11/15/24 |
357,037 | 353,631 | ||||||
1.600% due 12/15/26 |
1,360,000 | 1,293,833 | ||||||
2.940% due 05/15/25 |
159,707 | 159,545 | ||||||
KKR CLO 29 Ltd. (Cayman) |
2,500,000 | 2,479,811 | ||||||
Kubota Credit Owner Trust |
136,024 | 135,585 | ||||||
Madison Park Funding XXIII Ltd. (Cayman) |
||||||||
5.785% (USD LIBOR + 0.970%) |
2,580,346 | 2,557,380 | ||||||
6.365% (USD LIBOR + 1.550%) |
1,675,000 | 1,650,311 | ||||||
Madison Park Funding XXXIII Ltd. (Cayman) |
3,565,000 | 3,502,587 | ||||||
Magnetite XXV Ltd. (Cayman) |
670,000 | 661,655 | ||||||
MMAF Equipment Finance LLC |
4,025,000 | 4,096,106 | ||||||
MVW LLC |
261,051 | 241,987 | ||||||
MVW Owner Trust |
||||||||
2.420% due 12/20/34 ~ |
106,095 | 104,521 | ||||||
2.750% due 12/20/34 ~ |
36,130 | 35,312 | ||||||
2.890% due 11/20/36 ~ |
795,848 | 754,405 | ||||||
2.990% due 12/20/34 ~ |
97,493 | 93,555 | ||||||
Navient Private Education Refi Loan Trust |
||||||||
1.170% due 09/16/69 ~ |
498,080 | 445,719 | ||||||
1.220% due 07/15/69 ~ |
415,560 | 371,694 | ||||||
1.310% due 01/15/69 ~ |
243,027 | 223,124 | ||||||
1.690% due 05/15/69 ~ |
748,246 | 682,318 | ||||||
2.150% due 11/15/68 ~ |
3,826,316 | 3,478,418 | ||||||
2.230% due 07/15/70 ~ |
2,865,307 | 2,576,655 | ||||||
2.400% due 10/15/68 ~ |
586,926 | 546,695 | ||||||
2.460% due 11/15/68 ~ |
1,046,016 | 977,128 | ||||||
2.640% due 05/15/68 ~ |
1,134,478 | 1,070,614 | ||||||
3.420% due 01/15/43 ~ |
1,491,023 | 1,428,675 | ||||||
Nelnet Student Loan Trust |
973,741 | 876,020 | ||||||
Neuberger Berman Loan Advisers CLO 26 Ltd. (Cayman) |
1,755,000 | 1,696,175 | ||||||
Neuberger Berman Loan Advisers CLO 32 Ltd. (Cayman) |
3,755,000 | 3,686,577 | ||||||
Neuberger Berman Loan Advisers CLO 40 Ltd. (Cayman) |
1,085,000 | 1,069,912 | ||||||
Nissan Auto Receivables Owner Trust |
183,138 | 181,284 | ||||||
OCP CLO Ltd. (Cayman) |
||||||||
5.928% (USD LIBOR + 1.120%) due 07/20/29 § ~ |
3,731,580 | 3,698,287 | ||||||
6.342% (USD LIBOR + 1.550%) due 07/15/30 § ~ |
2,710,000 | 2,649,242 | ||||||
Octane Receivables Trust |
||||||||
1.210% due 09/20/28 ~ |
1,112,271 | 1,068,337 | ||||||
4.900% due 05/22/28 ~ |
1,290,000 | 1,262,547 | ||||||
5.870% due 05/21/29 ~ |
442,904 | 444,136 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
75
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Palmer Square CLO Ltd. (Cayman) |
$4,505,000 | $4,450,086 | ||||||
Progress Residential Trust |
||||||||
1.495% due 10/17/27 ~ |
3,232,000 | 2,935,767 | ||||||
2.078% due 06/17/37 ~ |
459,432 | 429,880 | ||||||
4.451% due 07/20/39 ~ |
1,630,000 | 1,576,995 | ||||||
Santander Bank Auto Credit-Linked Notes |
||||||||
5.916% due 08/16/32 ~ |
690,467 | 687,835 | ||||||
6.024% due 12/15/32 ~ |
485,168 | 486,800 | ||||||
6.451% due 12/15/32 ~ |
2,086,847 | 2,087,745 | ||||||
Santander Bank NA - SBCLN |
243,454 | 233,784 | ||||||
Santander Consumer Auto Receivables Trust |
1,810,000 | 1,753,025 | ||||||
Santander Drive Auto Receivables Trust |
||||||||
1.010% due 01/15/26 |
604,380 | 599,532 | ||||||
3.760% due 07/16/29 |
3,340,000 | 3,224,904 | ||||||
4.740% due 10/16/28 |
990,000 | 971,226 | ||||||
5.000% due 11/15/29 |
4,085,000 | 4,021,162 | ||||||
5.090% due 05/15/30 |
905,000 | 895,492 | ||||||
Santander Retail Auto Lease Trust |
||||||||
0.830% due 03/20/26 ~ |
4,240,000 | 4,035,078 | ||||||
1.110% due 03/20/26 ~ |
1,290,000 | 1,221,234 | ||||||
3.850% due 03/22/27 ~ |
990,000 | 959,715 | ||||||
Sierra Timeshare Receivables Funding LLC 3.510% due 07/20/37 ~ |
335,337 | 317,549 | ||||||
SMB Private Education Loan Trust |
||||||||
1.290% due 07/15/53 ~ |
1,324,118 | 1,187,043 | ||||||
1.310% due 07/17/51 ~ |
2,184,126 | 1,945,575 | ||||||
1.600% due 09/15/54 ~ |
3,979,761 | 3,566,345 | ||||||
5.404% (USD LIBOR + 0.720%) |
1,740,740 | 1,711,279 | ||||||
6.184% (USD LIBOR + 1.500%) |
736,926 | 735,664 | ||||||
Symphony CLO XXIII Ltd. (Cayman) |
3,645,000 | 3,597,716 | ||||||
Symphony CLO XXVI Ltd. (Cayman) |
1,110,000 | 1,089,168 | ||||||
Symphony Static CLO I Ltd. (Cayman) |
2,825,000 | 2,749,720 | ||||||
Volkswagen Auto Loan Enhanced Trust |
1,045,000 | 1,016,943 | ||||||
World Omni Auto Receivables Trust |
||||||||
1.640% due 08/17/26 |
825,000 | 793,718 | ||||||
2.550% due 09/15/28 |
1,105,000 | 1,037,788 | ||||||
World Omni Select Auto Trust |
||||||||
0.840% due 06/15/26 |
1,200,000 | 1,171,504 | ||||||
1.250% due 10/15/26 |
1,375,000 | 1,310,696 | ||||||
1.440% due 11/15/27 |
540,000 | 484,230 | ||||||
5.870% due 08/15/28 |
1,200,000 | 1,202,393 | ||||||
|
|
|||||||
Total Asset-Backed Securities |
|
197,949,947 | ||||||
|
|
|||||||
U.S. GOVERNMENT AGENCY ISSUE - 0.3% |
|
|||||||
Federal Home Loan Banks |
4,190,000 | 4,248,283 | ||||||
|
|
|||||||
Total U.S. Government Agency Issue |
|
4,248,283 | ||||||
|
|
Principal |
Value |
|||||||
U.S. TREASURY OBLIGATIONS - 28.8% |
| |||||||
U.S. Treasury Notes - 28.8% |
| |||||||
1.750% due 03/15/25 |
$58,565,000 | $56,029,090 | ||||||
2.750% due 05/15/25 |
57,850,000 | 56,348,386 | ||||||
4.000% due 12/15/25 |
5,875,000 | 5,898,752 | ||||||
4.125% due 01/31/25 |
3,070,000 | 3,069,520 | ||||||
4.500% due 11/15/25 |
28,750,000 | 29,179,566 | ||||||
4.625% due 02/28/25 |
316,200,000 | 319,300,243 | ||||||
|
|
|||||||
469,825,557 | ||||||||
|
|
|||||||
Total U.S. Treasury Obligations |
|
469,825,557 | ||||||
|
|
|||||||
FOREIGN GOVERNMENT BONDS & NOTES - 0.4% |
|
|||||||
Korea Housing Finance Corp. (South Korea) 4.625% due 02/24/28 ~ |
3,300,000 | 3,302,412 | ||||||
Korea Hydro & Nuclear Power Co. Ltd. (South Korea) |
||||||||
1.250% due 04/27/26 ~ |
1,790,000 | 1,606,319 | ||||||
4.250% due 07/27/27 ~ |
1,480,000 | 1,457,112 | ||||||
|
|
|||||||
Total Foreign Government Bonds & Notes |
|
6,365,843 | ||||||
|
|
|||||||
MUNICIPAL BONDS - 0.1% |
||||||||
Golden State Tobacco Securitization Corp. 1.711% due 06/01/24 |
1,505,000 | 1,444,818 | ||||||
|
|
|||||||
Total Municipal Bonds |
|
1,444,818 | ||||||
|
|
|||||||
SHORT-TERM INVESTMENT - 1.0% |
||||||||
Repurchase Agreement - 1.0% |
||||||||
Fixed Income Clearing Corp. |
15,783,393 | 15,783,393 | ||||||
|
|
|||||||
Total Short-Term Investment |
|
15,783,393 | ||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.8% |
|
1,645,298,851 | ||||||
|
|
|||||||
DERIVATIVES - 0.0% |
|
680,105 | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.8%) |
|
(13,057,237 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
|
$1,632,921,719 | ||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
76
PACIFIC SELECT FUND
SHORT DURATION BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||
U.S. Treasury 2-Year Notes |
06/23 | 1,015 | $207,184,928 | $209,549,923 | $2,364,995 | |||||||||||||
|
|
|||||||||||||||||
Short Futures Outstanding |
||||||||||||||||||
U.S. Treasury 5-Year Notes |
06/23 | 168 | 18,083,980 | 18,397,313 | (313,333 | ) | ||||||||||||
U.S. Treasury 10-Year Notes |
06/23 | 209 | 23,331,475 | 24,018,672 | (687,197 | ) | ||||||||||||
U.S. Treasury Ultra 10-Year Notes |
06/23 | 153 | 18,008,699 | 18,534,516 | (525,817 | ) | ||||||||||||
U.S. Treasury Ultra Long Bonds |
06/23 | 33 | 4,498,582 | 4,657,125 | (158,543 | ) | ||||||||||||
|
|
|||||||||||||||||
(1,684,890 | ) | |||||||||||||||||
|
|
|||||||||||||||||
Total Futures Contracts |
|
$680,105 | ||||||||||||||||
|
|
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Corporate Bonds & Notes |
$732,129,534 | $- | $732,129,534 | $- | |||||||||||||
Mortgage-Backed Securities |
217,551,476 | - | 217,551,476 | - | ||||||||||||||
Asset-Backed Securities |
197,949,947 | - | 197,949,947 | - | ||||||||||||||
U.S. Government Agency Issue |
4,248,283 | - | 4,248,283 | - | ||||||||||||||
U.S. Treasury Obligations |
469,825,557 | - | 469,825,557 | - | ||||||||||||||
Foreign Government Bonds & Notes |
6,365,843 | - | 6,365,843 | - | ||||||||||||||
Municipal Bonds |
1,444,818 | - | 1,444,818 | - | ||||||||||||||
Short-Term Investment |
15,783,393 | - | 15,783,393 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
2,364,995 | 2,364,995 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
1,647,663,846 | 2,364,995 | 1,645,298,851 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Derivatives: |
|||||||||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
(1,684,890 | ) | (1,684,890 | ) | - | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(1,684,890 | ) | (1,684,890 | ) | - | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,645,978,956 | $680,105 | $1,645,298,851 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
77
PACIFIC SELECT FUND
EMERGING MARKETS DEBT PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
CORPORATE BONDS & NOTES - 34.5% |
| |||||||
Azerbaijan - 0.5% |
| |||||||
SOCAR Turkey Enerji AS via Steas Funding 1 DAC |
$1,020,000 | $983,280 | ||||||
|
|
|||||||
Brazil - 1.1% |
||||||||
CSN Inova Ventures |
2,000,000 | 1,880,521 | ||||||
MC Brazil Downstream Trading SARL |
34,588 | 27,212 | ||||||
Usiminas International SARL |
600,000 | 568,734 | ||||||
|
|
|||||||
2,476,467 | ||||||||
|
|
|||||||
Chile - 0.6% |
||||||||
Alfa Desarrollo SpA |
806,007 | 591,726 | ||||||
Corp. Nacional del Cobre de Chile |
750,000 | 758,200 | ||||||
|
|
|||||||
1,349,926 | ||||||||
|
|
|||||||
China - 2.9% |
||||||||
Country Garden Holdings Co. Ltd. |
||||||||
2.700% due 07/12/26 ~ |
200,000 | 110,650 | ||||||
3.125% due 10/22/25 ~ |
925,000 | 536,428 | ||||||
4.200% due 02/06/26 ~ |
1,400,000 | 818,912 | ||||||
5.400% due 05/27/25 ~ |
250,000 | 163,891 | ||||||
6.150% due 09/17/25 ~ |
200,000 | 128,863 | ||||||
7.250% due 04/08/26 ~ |
850,000 | 539,750 | ||||||
Powerlong Real Estate Holdings Ltd. |
||||||||
4.900% due 05/13/26 ~ |
400,000 | 92,000 | ||||||
6.250% due 08/10/24 ~ |
300,000 | 74,062 | ||||||
Prosus NV |
||||||||
3.257% due 01/19/27 ~ |
2,900,000 | 2,638,180 | ||||||
4.193% due 01/19/32 ~ |
1,575,000 | 1,340,056 | ||||||
|
|
|||||||
6,442,792 | ||||||||
|
|
|||||||
Colombia - 0.4% |
||||||||
Ecopetrol SA |
800,000 | 810,400 | ||||||
|
|
|||||||
Czech Republic - 0.6% |
||||||||
Energo-Pro AS |
1,425,000 | 1,373,344 | ||||||
|
|
|||||||
Ghana - 1.0% |
||||||||
Kosmos Energy Ltd. |
||||||||
7.125% due 04/04/26 ~ |
1,000,000 | 859,214 | ||||||
7.500% due 03/01/28 ~ |
1,150,000 | 937,301 | ||||||
7.750% due 05/01/27 ~ |
500,000 | 420,565 | ||||||
|
|
|||||||
2,217,080 | ||||||||
|
|
|||||||
Hong Kong - 1.3% |
||||||||
AIA Group Ltd. |
575,000 | 579,136 | ||||||
Melco Resorts Finance Ltd. |
||||||||
5.250% due 04/26/26 ~ |
350,000 | 315,789 | ||||||
5.625% due 07/17/27 ~ |
625,000 | 550,625 | ||||||
5.750% due 07/21/28 ~ |
1,550,000 | 1,342,300 | ||||||
|
|
|||||||
2,787,850 | ||||||||
|
|
Principal |
Value |
|||||||
Hungary - 0.2% |
||||||||
OTP Bank Nyrt |
EUR 450,000 | $487,849 | ||||||
|
|
|||||||
Israel - 6.3% |
||||||||
Bank Hapoalim BM |
$2,425,000 | 2,026,087 | ||||||
Bank Leumi Le-Israel BM |
1,750,000 | 1,702,750 | ||||||
Energean Israel Finance Ltd. |
||||||||
4.875% due 03/30/26 ~ |
1,075,000 | 998,406 | ||||||
5.375% due 03/30/28 ~ |
2,425,000 | 2,176,437 | ||||||
Israel Discount Bank Ltd. |
2,475,000 | 2,440,157 | ||||||
Leviathan Bond Ltd. |
||||||||
5.750% due 06/30/23 ~ |
725,000 | 723,913 | ||||||
6.125% due 06/30/25 ~ |
1,800,000 | 1,757,250 | ||||||
6.500% due 06/30/27 ~ |
2,025,000 | 1,949,063 | ||||||
|
|
|||||||
13,774,063 | ||||||||
|
|
|||||||
Kazakhstan - 2.4% |
||||||||
KazMunayGas National Co. JSC |
3,975,000 | 3,555,030 | ||||||
Tengizchevroil Finance Co. International Ltd. |
1,900,000 | 1,683,970 | ||||||
|
|
|||||||
5,239,000 | ||||||||
|
|
|||||||
Macau - 0.3% |
||||||||
MGM China Holdings Ltd. |
725,000 | 687,780 | ||||||
|
|
|||||||
Malaysia - 0.5% |
||||||||
Gohl Capital Ltd. |
1,192,000 | 1,091,834 | ||||||
|
|
|||||||
Mexico - 3.6% |
||||||||
Banco Mercantil del Norte SA |
2,300,000 | 1,960,750 | ||||||
BBVA Bancomer SA |
200,000 | 171,256 | ||||||
Cemex SAB de CV |
||||||||
5.125% due 06/08/26 ~ |
1,450,000 | 1,299,490 | ||||||
9.125% due 03/14/28 ~ |
575,000 | 576,554 | ||||||
Comision Federal de Electricidad |
1,944,800 | 1,636,827 | ||||||
Petroleos Mexicanos |
2,600,000 | 2,359,721 | ||||||
|
|
|||||||
8,004,598 | ||||||||
|
|
|||||||
Nigeria - 0.5% |
||||||||
IHS Holding Ltd. |
1,275,000 | 1,077,120 | ||||||
|
|
|||||||
Oman - 0.6% |
||||||||
Lamar Funding Ltd. |
1,475,000 | 1,406,855 | ||||||
|
|
|||||||
Poland - 0.1% |
||||||||
Polski Koncern Naftowy ORLEN SA |
EUR 225,000 | 205,019 | ||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
78
PACIFIC SELECT FUND
EMERGING MARKETS DEBT PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Qatar - 0.7% |
| |||||||
QIB Sukuk Ltd. |
$1,600,000 | $ 1,579,440 | ||||||
|
|
|||||||
Romania - 0.4% |
||||||||
NE Property BV |
EUR 975,000 | 931,585 | ||||||
|
|
|||||||
Saudi Arabia - 1.2% |
||||||||
Greensaif Pipelines Bidco SARL |
$1,625,000 | 1,673,258 | ||||||
TMS Issuer Sarl |
1,000,000 | 1,044,520 | ||||||
|
|
|||||||
2,717,778 | ||||||||
|
|
|||||||
South Africa - 3.5% |
||||||||
Sasol Financing USA LLC |
||||||||
4.375% due 09/18/26 |
1,650,000 | 1,493,365 | ||||||
5.500% due 03/18/31 |
900,000 | 753,574 | ||||||
6.500% due 09/27/28 |
600,000 | 561,295 | ||||||
Stillwater Mining Co. |
||||||||
4.000% due 11/16/26 ~ |
2,450,000 | 2,195,690 | ||||||
4.500% due 11/16/29 ~ |
950,000 | 783,935 | ||||||
Transnet SOC Ltd. |
1,950,000 | 1,944,959 | ||||||
|
|
|||||||
7,732,818 | ||||||||
|
|
|||||||
South Korea - 0.4% |
||||||||
SK Hynix, Inc. |
800,000 | 808,540 | ||||||
|
|
|||||||
Supranational - 0.9% |
||||||||
Africa Finance Corp. |
2,500,000 | 2,055,375 | ||||||
|
|
|||||||
Tanzania - 0.8% |
||||||||
HTA Group Ltd. |
1,762,000 | 1,676,279 | ||||||
|
|
|||||||
Ukraine - 0.1% |
||||||||
NPC Ukrenergo |
1,375,000 | 200,006 | ||||||
|
|
|||||||
United Arab Emirates - 2.0% |
||||||||
Galaxy Pipeline Assets Bidco Ltd. |
4,346,790 | 3,748,753 | ||||||
MAF Global Securities Ltd. |
625,000 | 631,481 | ||||||
|
|
|||||||
4,380,234 | ||||||||
|
|
|||||||
Venezuela - 1.6% |
||||||||
Petroleos de Venezuela SA |
||||||||
5.375% due 04/12/27 * Y ~ |
1,432,000 | 64,440 | ||||||
8.500% * Y ~ |
11,929,000 | 3,220,830 | ||||||
9.000% * Y ~ |
1,780,581 | 82,352 | ||||||
9.750% due 05/17/35 * Y ~ |
2,733,498 | 133,258 | ||||||
12.750% * Y ~ |
1,152,000 | 59,040 | ||||||
|
|
|||||||
3,559,920 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
|
76,057,232 | ||||||
|
|
Principal |
Value |
|||||||
CONVERTIBLE CORPORATE BONDS & NOTES - 0.9% |
|
|||||||
United Arab Emirates - 0.9% |
||||||||
Abu Dhabi National Oil Co. (United Arab Emirates) |
$2,200,000 | $2,087,800 | ||||||
|
|
|||||||
Total Convertible Corporate Bonds & Notes |
|
2,087,800 | ||||||
|
|
|||||||
Shares |
||||||||
FOREIGN GOVERNMENT BONDS & NOTES - 57.5% |
|
|||||||
Angola - 0.9% |
||||||||
Angolan Government |
||||||||
8.000% due 11/26/29 ~ |
2,425,000 | 2,086,470 | ||||||
|
|
|||||||
Bahamas - 1.1% |
||||||||
Bahamas Government |
||||||||
6.000% due 11/21/28 ~ |
2,675,000 | 2,042,986 | ||||||
9.000% due 06/16/29 ~ |
450,000 | 385,332 | ||||||
|
|
|||||||
2,428,318 | ||||||||
|
|
|||||||
Brazil - 5.0% |
||||||||
Brazil Notas do Tesouro Nacional Class F |
||||||||
10.000% due 01/01/27 |
BRL 59,800,000 | 11,084,316 | ||||||
|
|
|||||||
Colombia - 2.5% |
||||||||
Colombia Government |
||||||||
3.000% due 01/30/30 |
$1,775,000 | 1,396,641 | ||||||
4.500% due 03/15/29 |
2,075,000 | 1,833,952 | ||||||
Colombia TES |
||||||||
6.000% due 04/28/28 |
COP 13,600,000,00 | 2,343,004 | ||||||
|
|
|||||||
5,573,597 | ||||||||
|
|
|||||||
Czech Republic - 2.7% |
||||||||
Czech Republic Government |
||||||||
1.000% due 06/26/26 ~ |
CZK 53,800,000 | 2,199,247 | ||||||
1.250% due 02/14/25 |
38,800,000 | 1,667,529 | ||||||
2.400% due 09/17/25 ~ |
45,900,000 | 1,986,520 | ||||||
|
|
|||||||
5,853,296 | ||||||||
|
|
|||||||
Ecuador - 0.8% |
||||||||
Ecuador Government VRN |
||||||||
2.500% due 07/31/35 § ~ |
$5,225,000 | 1,762,262 | ||||||
|
|
|||||||
El Salvador - 1.3% |
||||||||
El Salvador Government |
||||||||
6.375% due 01/18/27 ~ |
900,000 | 507,430 | ||||||
7.625% due 09/21/34 ~ |
500,000 | 237,066 | ||||||
7.625% due 02/01/41 ~ |
1,925,000 | 909,259 | ||||||
7.650% due 06/15/35 ~ |
1,280,000 | 608,311 | ||||||
8.625% due 02/28/29 ~ |
1,100,000 | 593,084 | ||||||
|
|
|||||||
2,855,150 | ||||||||
|
|
|||||||
Ghana - 0.1% |
||||||||
Ghana Government REGS |
||||||||
10.750% due 10/14/30 ~ |
400,000 | 277,710 | ||||||
|
|
|||||||
Hungary - 1.5% |
||||||||
Hungary Government |
||||||||
6.125% due 05/22/28 ~ |
1,800,000 | 1,848,161 | ||||||
6.250% due 09/22/32 ~ |
1,425,000 | 1,456,143 | ||||||
|
|
|||||||
3,304,304 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
79
PACIFIC SELECT FUND
EMERGING MARKETS DEBT PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Indonesia - 4.2% |
| |||||||
Indonesia Treasury |
||||||||
5.125% due 04/15/27 |
IDR 7,300,000,000 | $467,001 | ||||||
6.375% due 08/15/28 |
50,000,000,000 | 3,340,708 | ||||||
6.500% due 02/15/31 |
28,900,000,000 | 1,916,773 | ||||||
7.000% due 02/15/33 |
52,300,000,000 | 3,549,857 | ||||||
|
|
|||||||
9,274,339 | ||||||||
|
|
|||||||
Iraq - 2.1% |
||||||||
Iraq Government |
$4,921,875 | 4,601,495 | ||||||
|
|
|||||||
Israel - 1.0% |
||||||||
Israel Government |
2,270,000 | 2,270,000 | ||||||
|
|
|||||||
Ivory Coast - 1.9% |
||||||||
Ivory Coast Government |
||||||||
4.875% due 01/30/32 ~ |
EUR 4,425,000 | 3,670,544 | ||||||
5.875% due 10/17/31 ~ |
686,000 | 613,274 | ||||||
|
|
|||||||
4,283,818 | ||||||||
|
|
|||||||
Mexico - 8.5% |
||||||||
Mexican Bonos |
||||||||
7.750% due 11/23/34 |
MXN 206,500,000 | 10,576,880 | ||||||
7.750% due 11/13/42 |
43,300,000 | 2,096,746 | ||||||
Mexico Government |
||||||||
4.875% due 05/19/33 |
$3,575,000 | 3,427,116 | ||||||
6.350% due 02/09/35 |
2,525,000 | 2,687,606 | ||||||
|
|
|||||||
18,788,348 | ||||||||
|
|
|||||||
Nigeria - 0.9% |
||||||||
Nigeria Government MTN REGS |
2,500,000 | 1,954,375 | ||||||
|
|
|||||||
Peru - 2.9% |
||||||||
Peru Government |
||||||||
5.400% due 08/12/34 |
PEN 10,100,000 | 2,254,432 | ||||||
5.940% due 02/12/29 |
9,200,000 | 2,309,641 | ||||||
Peruvian Government |
||||||||
6.350% due 08/12/28 ~ |
6,700,000 | 1,737,545 | ||||||
|
|
|||||||
6,301,618 | ||||||||
|
|
|||||||
Poland - 4.4% |
||||||||
Republic of Poland Government |
||||||||
due 10/04/33 # |
$3,650,000 | 3,638,502 | ||||||
2.500% due 07/25/26 |
PLN 11,800,000 | 2,454,056 | ||||||
4.000% due 01/22/24 |
$1,000,000 | 993,788 | ||||||
5.858% due 07/25/24 |
PLN 12,200,000 | 2,621,435 | ||||||
|
|
|||||||
9,707,781 | ||||||||
|
|
|||||||
Romania - 3.3% |
||||||||
Romanian Government |
||||||||
1.375% due 12/02/29 ~ |
EUR 650,000 | 531,806 | ||||||
2.000% due 04/14/33 ~ |
2,725,000 | 2,022,416 | ||||||
3.624% due 05/26/30 ~ |
725,000 | 667,311 | ||||||
4.850% due 07/25/29 |
RON 7,500,000 | 1,442,432 | ||||||
5.000% due 02/12/29 |
6,900,000 | 1,349,579 | ||||||
6.625% due 09/27/29 ~ |
EUR 1,050,000 | 1,165,986 | ||||||
|
|
|||||||
7,179,530 | ||||||||
|
|
Principal |
Value |
|||||||
Saudi Arabia - 3.2% |
||||||||
Saudi Government |
||||||||
4.750% due 01/18/28 ~ |
$1,800,000 | $1,823,463 | ||||||
4.875% due 07/18/33 ~ |
1,425,000 | 1,440,765 | ||||||
5.000% due 01/18/53 ~ |
1,175,000 | 1,094,604 | ||||||
4.500% due 10/26/46 ~ |
3,175,000 | 2,794,473 | ||||||
|
|
|||||||
7,153,305 | ||||||||
|
|
|||||||
Senegal - 1.1% |
||||||||
Senegal Government |
||||||||
4.750% due 03/13/28 ~ |
EUR 2,325,000 | 2,127,106 | ||||||
6.250% due 07/30/24 ~ |
$400,000 | 386,260 | ||||||
|
|
|||||||
2,513,366 | ||||||||
|
|
|||||||
Serbia - 0.4% |
||||||||
Serbia Government ~ |
875,000 | 885,780 | ||||||
|
|
|||||||
South Africa - 2.7% |
||||||||
Republic of South Africa Government |
||||||||
8.750% due 01/31/44 |
ZAR 1,000 | 44 | ||||||
8.750% due 02/28/48 |
2,000 | 86 | ||||||
8.875% due 02/28/35 |
124,290,000 | 5,991,469 | ||||||
|
|
|||||||
5,991,599 | ||||||||
|
|
|||||||
South Korea - 0.6% |
||||||||
Korea Government |
$1,300,000 | 1,296,292 | ||||||
|
|
|||||||
Sri Lanka - 0.5% |
||||||||
Sri Lanka Government |
||||||||
6.825% due 07/18/26 Y ~ |
298,000 | 110,639 | ||||||
6.850% due 11/03/25 * Y ~ |
2,400,000 | 888,131 | ||||||
|
|
|||||||
998,770 | ||||||||
|
|
|||||||
Tunisia - 1.4% |
||||||||
Tunisian Republic |
||||||||
5.750% due 01/30/25 ~ |
200,000 | 115,052 | ||||||
6.375% due 07/15/26 ~ |
EUR 5,050,000 | 2,946,149 | ||||||
|
|
|||||||
3,061,201 | ||||||||
|
|
|||||||
Ukraine - 0.8% |
||||||||
State Agency of Roads of Ukraine ~ Y |
$3,600,000 | 577,327 | ||||||
Ukraine Government |
||||||||
1.000% due 08/01/41 § ~ * Y |
1,325,000 | 356,850 | ||||||
6.876% due 05/21/31 ~ * Y |
1,100,000 | 199,241 | ||||||
7.750% due 09/01/27 ~ * Y |
600,000 | 108,100 | ||||||
7.750% due 09/01/28 ~ * Y |
2,450,000 | 442,717 | ||||||
|
|
|||||||
1,684,235 | ||||||||
|
|
|||||||
Uzbekistan - 0.8% |
||||||||
Republic of Uzbekistan |
||||||||
4.750% due 02/20/24 ~ |
725,000 | 714,430 | ||||||
5.375% due 02/20/29 ~ |
1,050,000 | 963,407 | ||||||
|
|
|||||||
1,677,837 | ||||||||
|
|
|||||||
Venezuela - 0.6% |
||||||||
Venezuela Government |
||||||||
7.750% * Y ~ |
913,000 | 68,475 | ||||||
8.250% due 10/13/24 * Y ~ |
1,784,900 | 196,339 | ||||||
9.000% due 05/07/23 * Y ~ |
816,000 | 87,720 | ||||||
11.750% due 10/21/26 * Y ~ |
7,749,400 | 833,061 | ||||||
12.750% * Y ~ |
1,624,000 | 174,580 | ||||||
|
|
|||||||
1,360,175 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
80
PACIFIC SELECT FUND
EMERGING MARKETS DEBT PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Zambia - 0.3% |
| |||||||
Zambia Government |
$1,250,000 | $570,313 | ||||||
|
|
|||||||
Total Foreign Government Bonds & Notes |
|
126,779,600 | ||||||
|
|
|||||||
SHORT-TERM INVESTMENTS - 5.9% |
| |||||||
Repurchase Agreement - 3.6% |
| |||||||
Fixed Income Clearing Corp. |
7,962,021 | 7,962,021 | ||||||
|
|
|||||||
U.S. Treasury Bills - 2.3% |
||||||||
4.366% due 05/04/23 |
5,000,000 | 4,980,135 | ||||||
|
|
|||||||
Total Short-Term Investments |
12,942,156 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 98.8% |
217,866,788 | |||||||
|
|
|||||||
DERIVATIVES - (0.0%) |
(105,566 | ) | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 1.2% |
|
2,666,877 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$220,428,099 | |||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $8,373,419 or 3.8% of the Funds net assets were in default as of March 31, 2023. |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
81
PACIFIC SELECT FUND
EMERGING MARKETS DEBT PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Short Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||
Euro-BTP |
06/23 | 27 | $3,287,979 | $3,377,621 | ($89,642 | ) | ||||||||||||
|
|
(c) | Forward foreign currency contracts outstanding as of March 31, 2023 were as follows: |
Currency Purchased |
Currency Sold |
Settlement Month |
Counterparty | Unrealized Appreciation |
Unrealized Depreciation |
|||||||||||||||||||||||||
BRL | 16,350,000 | USD | 3,088,332 | 04/23 | JPM | $126,918 | $- | |||||||||||||||||||||||
CZK | 98,725,000 | USD | 4,458,430 | 04/23 | JPM | 98,859 | - | |||||||||||||||||||||||
EUR | 1,900,000 | USD | 2,028,668 | 04/23 | JPM | 33,367 | - | |||||||||||||||||||||||
HUF | 1,925,000,000 | USD | 5,385,738 | 04/23 | JPM | 72,324 | - | |||||||||||||||||||||||
ILS | 15,700,000 | USD | 4,438,633 | 04/23 | JPM | - | (70,720 | ) | ||||||||||||||||||||||
INR | 540,500,000 | USD | 6,566,239 | 04/23 | CIT | 7,181 | - | |||||||||||||||||||||||
PLN | 22,100,000 | USD | 5,124,539 | 04/23 | JPM | - | (10,870 | ) | ||||||||||||||||||||||
THB | 112,100,000 | USD | 3,272,037 | 04/23 | HSB | 13,261 | - | |||||||||||||||||||||||
THB | 104,400,000 | USD | 3,053,490 | 04/23 | JPM | 6,146 | - | |||||||||||||||||||||||
USD | 3,100,534 | BRL | 16,350,000 | 04/23 | CIT | - | (114,716 | ) | ||||||||||||||||||||||
USD | 10,966,201 | CNH | 75,200,000 | 04/23 | CIT | 7,682 | - | |||||||||||||||||||||||
USD | 2,151,467 | COP | 10,400,000,000 | 04/23 | JPM | - | (72,919 | ) | ||||||||||||||||||||||
USD | 20,032,263 | EUR | 18,722,756 | 04/23 | JPM | - | (288,255 | ) | ||||||||||||||||||||||
USD | 245,198 | EUR | 225,000 | 04/23 | JPM | 1,010 | - | |||||||||||||||||||||||
USD | 3,349,610 | MXN | 63,100,000 | 04/23 | CIT | - | (138,375 | ) | ||||||||||||||||||||||
USD | 5,067,524 | PLN | 22,100,000 | 04/23 | JPM | - | (46,146 | ) | ||||||||||||||||||||||
USD | 12,227,254 | ZAR | 228,000,000 | 04/23 | CIT | - | (555,476 | ) | ||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||
Total Forward Foreign Currency Contracts |
$366,748 | ($1,297,477 | ) | |||||||||||||||||||||||||||
|
|
|
|
(d) | Swap agreements outstanding as of March 31, 2023 were as follows: |
Credit Default Swaps on Corporate and Sovereign Issues Buy Protection (1)
Referenced Obligation | Payment Frequency |
Fixed Deal Pay Rate |
Expiration Date |
Counter- party |
Implied Credit Spread at 03/31/23 (2) |
Notional Amount (3) |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
|||||||||||||||||||||
Bank of China Ltd. |
Q | 1.000% | 12/20/25 | GSC | 0.553% | $5,900,000 | ($69,876 | ) | ($62,719 | ) | ($7,157 | ) | ||||||||||||||||||
China Development Bank |
Q | 1.000% | 12/20/25 | GSC | 0.534% | 4,600,000 | (56,641 | ) | (50,890 | ) | (5,751 | ) | ||||||||||||||||||
Industrial & Commercial Bank of China Ltd. |
Q | 1.000% | 12/20/25 | GSC | 0.539% | 5,150,000 | (62,813 | ) | (55,894 | ) | (6,919 | ) | ||||||||||||||||||
China Construction Bank Corp. |
Q | 1.000% | 12/20/25 | GSC | 0.551% | 5,150,000 | (61,267 | ) | (55,894 | ) | (5,373 | ) | ||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
(250,597 | ) | (225,397 | ) | (25,200 | ) | |||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
Exchange |
||||||||||||||||||||||||||||||
Bahrain Government |
Q | 1.000% | 06/20/28 | ICE | 2.439% | 1,700,000 | 108,939 | 127,815 | (18,876 | ) | ||||||||||||||||||||
South Africa Government |
Q | 1.000% | 06/20/28 | ICE | 2.739% | 8,700,000 | 674,164 | 652,254 | 21,910 | |||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
783,103 | 780,069 | 3,034 | ||||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||
Total Credit default Swaps on Corporate and Sovereign Issues Buy Protection |
$532,506 | $554,672 | ($22,166 | ) | ||||||||||||||||||||||||||
|
|
|
|
|
|
Credit Default Swaps on Corporate Issues Sell Protection (4)
Referenced Obligation | Payment Frequency |
Fixed Deal Receive Rate |
Expiration Date |
Exchange | Implied Credit Spread at 03/31/23 (2) |
Notional Amount (3) |
Value (5) | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
|||||||||||||||||||||
South Africa Government |
Q | 1.000% | 06/20/28 | ICE | 2.739% | $2,825,000 | ($218,909 | ) | ($244,947 | ) | $26,038 | |||||||||||||||||||
|
|
|
|
|
|
Credit Default Swaps on Credit Indices Buy Protection (1)
Referenced Obligation | Payment Frequency |
Fixed Deal Pay Rate |
Expiration Date |
Exchange | Notional Amount (3) |
Value (5) | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||
CDX iTraxx Europe |
Q | 5.000% | 12/20/27 | ICE | EUR 23,500,000 | ($955,150 | ) | ($470,071 | ) | ($485,079 | ) | |||||||||||||||||
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
82
PACIFIC SELECT FUND
EMERGING MARKETS DEBT PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Credit Default Swaps on Credit Indices Sell Protection (1)
Referenced Obligation | Payment Frequency |
Fixed Deal Receive Rate |
Expiration Date |
Exchange | Notional Amount (3) |
Value (5) | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||
CDX iTraxx Europe |
Q | 5.000% | 12/20/27 | ICE | EUR 15,800,000 | $642,202 | $261,791 | $380,411 | ||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||
Total Credit Default Swaps |
|
$649 | $101,445 | ($100,796 | ) | |||||||||||||||||||||||
|
|
|
|
|
|
(1) | If the Fund is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying investments comprising the referenced index or (ii) receive a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index. |
(2) | An implied credit spread is the spread in yield between a U.S. Treasury security and the referenced obligation or underlying investment that are identical in all respects except for the quality rating. Implied credit spreads, represented in the absolute terms, utilized in determining the value of credit default swap agreements on corporate and sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood of risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter the agreement. Wider credit spreads, in comparison to narrower credit spreads, represent a deterioration of the referenced entitys credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as Defaulted indicates a credit event has occurred for the referenced entity or obligation. |
(3) | The maximum potential amount the Fund could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap agreement. |
(4) | If the Fund is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Fund will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying investments comprising the referenced index or (ii) pay a net settlement amount in the form of cash or investments equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying investments comprising the referenced index. |
(5) | The quoted market prices and resulting values for credit default swap agreements on credit indices serve as an indicator of the current status of the payment/performance risk and represent the likelihood of an expected liability (or profit) for the credit derivative had the notional amount of the swap agreement been closed/sold as of period end. Increasing values (buy protection) or decreasing values (sell protection), when compared to the notional amount of the swap, represent a deterioration of the referenced entitys credit soundness and a greater likelihood of risk of default or other credit event occurring as defined under the terms of the agreement. |
Interest Rate Swaps Long
Receive | Pay | Payment Frequency Receive Rate/ Pay Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||
11.770% | Brazil CETIP Interbank | Z/Z | LCH | 01/02/25 | BRL 207,710,417 | ($487,579 | ) | ($746,462 | ) | $258,883 | ||||||||||||||||
9.481% | 28-Day MXN TIIE | L/L | LCH | 06/18/25 | MXN 445,000,000 | - | - | - | ||||||||||||||||||
11.950% | Brazil CETIP Interbank | Z/Z | LCH | 01/04/27 | BRL 37,999,875 | - | - | - | ||||||||||||||||||
3.208% | 3-Month ILS-TELBOR | A/Q | LCH | 03/15/28 | ILS 37,400,000 | (230,074 | ) | - | (230,074 | ) | ||||||||||||||||
3.488% | 3-Month ILS-TELBOR | A/Q | LCH | 06/21/28 | 34,300,000 | (65,681 | ) | - | (65,681 | ) | ||||||||||||||||
3.634% | 3-Month KRW-KWCDC | Q/Q | LCH | 06/21/28 | KRW 9,300,000,000 | 168,484 | - | 168,484 | ||||||||||||||||||
8.763% | 28-Day MXN TIIE | L/L | LCH | 12/08/32 | MXN 50,800,000 | 69,810 | - | 69,810 | ||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
($545,040 | ) | ($746,462 | ) | $201,422 | ||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
Interest Rate Swaps Short |
||||||||||||||||||||||||||
Pay | Receive | Payment Frequency Pay Rate/ Receive Rate |
Exchange | Expiration Date |
Notional Amount |
Value | Upfront Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||
7.372% | 1-Day CLP CAMARA | S/S | LCH | 11/29/24 | CLP 23,000,000,000 | $755,016 | $13,992 | $741,024 | ||||||||||||||||||
3.952% | 1-Day USD SOFR | A/A | LCH | 06/18/25 | $23,400,000 | - | - | - | ||||||||||||||||||
3.208% | 3-Month ILS-TELBOR | A/Q | LCH | 03/15/28 | ILS 37,400,000 | 230,200 | 160,456 | 69,744 | ||||||||||||||||||
8.763% | 28-Day MXN TIIE | L/L | LCH | 12/08/32 | MXN 50,800,000 | (66,705 | ) | (70,116 | ) | 3,411 | ||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
$918,511 | $104,332 | $814,179 | ||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
Total Interest Rate Swaps |
$373,471 | (642,130 | ) | 1,015,601 | ||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||
Total Swap Agreements |
$374,120 | ($540,685 | ) | $914,805 | ||||||||||||||||||||||
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
83
PACIFIC SELECT FUND
EMERGING MARKETS DEBT PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(e) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Corporate Bonds & Notes |
$76,057,232 | $- | $76,057,232 | $- | |||||||||||||
Convertible Corporate Bonds & Notes |
2,087,800 | - | 2,087,800 | - | ||||||||||||||
Foreign Government Bonds & Notes |
126,779,600 | - | 126,779,600 | - | ||||||||||||||
Short-Term Investments |
12,942,156 | - | 12,942,156 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Credit Contracts |
||||||||||||||||||
Swaps |
428,359 | - | 428,359 | - | ||||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
366,748 | - | 366,748 | - | ||||||||||||||
Interest Rate Contracts |
||||||||||||||||||
Swaps |
1,311,356 | - | 1,311,356 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Interest Rate Contracts |
1,311,356 | - | 1,311,356 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Asset - Derivatives |
2,106,463 | - | 2,106,463 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
219,973,251 | - | 219,973,251 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Derivatives: |
|||||||||||||||||
Credit Contracts |
||||||||||||||||||
Swaps |
(529,155 | ) | - | (529,155 | ) | - | ||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
(1,297,477 | ) | - | (1,297,477 | ) | - | ||||||||||||
Interest Rate Contracts |
||||||||||||||||||
Futures |
(89,642 | ) | (89,642 | ) | - | - | ||||||||||||
Swaps |
(295,755 | ) | - | (295,755 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Interest Rate Contracts |
(385,397 | ) | (89,642 | ) | (295,755 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities - Derivatives |
(2,212,029 | ) | (89,642 | ) | (2,122,387 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(2,212,029 | ) | (89,642 | ) | (2,122,387 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$217,761,222 | ($89,642 | ) | $217,850,864 | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
84
PACIFIC SELECT FUND
DIVIDEND GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
PREFERRED STOCKS - 0.3% |
| |||||||
Consumer, Cyclical - 0.3% |
| |||||||
Dr Ing hc F Porsche AG * |
40,050 | $5,140,384 | ||||||
|
|
|||||||
Total Preferred Stocks |
5,140,384 | |||||||
|
|
|||||||
COMMON STOCKS - 96.0% |
||||||||
Basic Materials - 3.3% |
||||||||
Air Products & Chemicals, Inc. |
25,337 | 7,277,040 | ||||||
Linde PLC |
48,194 | 17,130,075 | ||||||
Nutrien Ltd. (Canada) |
98,351 | 7,263,221 | ||||||
RPM International, Inc. |
53,824 | 4,695,606 | ||||||
Sherwin-Williams Co. |
46,741 | 10,505,975 | ||||||
|
|
|||||||
46,871,917 | ||||||||
|
|
|||||||
Communications - 0.8% |
||||||||
Walt Disney Co. * |
116,990 | 11,714,209 | ||||||
|
|
|||||||
Consumer, Cyclical - 10.3% |
||||||||
Costco Wholesale Corp. |
14,760 | 7,333,801 | ||||||
Cummins, Inc. |
29,181 | 6,970,757 | ||||||
Dollar General Corp. |
87,403 | 18,394,835 | ||||||
Hilton Worldwide Holdings, Inc. |
109,016 | 15,357,084 | ||||||
Home Depot, Inc. |
56,169 | 16,576,595 | ||||||
Las Vegas Sands Corp. * |
122,795 | 7,054,573 | ||||||
Marriott International, Inc. Class A |
18,969 | 3,149,613 | ||||||
McDonalds Corp. |
59,505 | 16,638,193 | ||||||
NIKE, Inc. Class B |
75,406 | 9,247,792 | ||||||
Ross Stores, Inc. |
178,228 | 18,915,337 | ||||||
Tractor Supply Co. |
24,566 | 5,773,993 | ||||||
Walmart, Inc. |
85,597 | 12,621,278 | ||||||
Yum! Brands, Inc. |
64,228 | 8,483,234 | ||||||
|
|
|||||||
146,517,085 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 26.6% |
||||||||
AbbVie, Inc. |
126,044 | 20,087,632 | ||||||
AstraZeneca PLC ADR (United Kingdom) |
256,552 | 17,807,274 | ||||||
Automatic Data Processing, Inc. |
35,665 | 7,940,099 | ||||||
Avery Dennison Corp. |
64,906 | 11,613,631 | ||||||
Becton Dickinson & Co. |
76,981 | 19,055,877 | ||||||
Cigna Group |
27,753 | 7,091,724 | ||||||
Coca-Cola Co. |
286,333 | 17,761,236 | ||||||
Colgate-Palmolive Co. |
50,583 | 3,801,312 | ||||||
Constellation Brands, Inc. Class A |
37,475 | 8,465,228 | ||||||
Danaher Corp. |
89,097 | 22,456,008 | ||||||
Diageo PLC (United Kingdom) |
161,949 | 7,227,723 | ||||||
Elevance Health, Inc. |
24,948 | 11,471,340 | ||||||
Eli Lilly & Co. |
43,631 | 14,983,758 | ||||||
Equifax, Inc. |
29,451 | 5,973,841 | ||||||
GE HealthCare Technologies, Inc. * |
92,103 | 7,555,209 | ||||||
Johnson & Johnson |
89,804 | 13,919,620 | ||||||
Keurig Dr Pepper, Inc. |
113,119 | 3,990,838 | ||||||
McKesson Corp. |
43,957 | 15,650,890 | ||||||
Medtronic PLC |
47,068 | 3,794,622 | ||||||
Mondelez International, Inc. Class A |
290,834 | 20,276,946 | ||||||
Nestle SA |
53,309 | 6,499,993 | ||||||
PepsiCo, Inc. |
101,212 | 18,450,948 | ||||||
Philip Morris International, Inc. |
190,014 | 18,478,862 | ||||||
S&P Global, Inc. |
19,904 | 6,862,302 | ||||||
Stryker Corp. |
58,784 | 16,781,068 | ||||||
Thermo Fisher Scientific, Inc. |
42,781 | 24,657,685 | ||||||
UnitedHealth Group, Inc. |
68,971 | 32,595,005 |
Shares |
Value |
|||||||
Zoetis, Inc. |
76,556 | $ 12,741,981 | ||||||
|
|
|||||||
377,992,652 | ||||||||
|
|
|||||||
Energy - 2.7% |
||||||||
EOG Resources, Inc. |
118,439 | 13,576,663 | ||||||
Exxon Mobil Corp. |
163,071 | 17,882,366 | ||||||
TotalEnergies SE (France) |
119,815 | 7,064,732 | ||||||
|
|
|||||||
38,523,761 | ||||||||
|
|
|||||||
Financial - 17.4% |
||||||||
American Express Co. |
61,646 | 10,168,508 | ||||||
American Tower Corp. REIT |
72,875 | 14,891,278 | ||||||
Aon PLC Class A |
43,009 | 13,560,308 | ||||||
Bank of America Corp. |
536,789 | 15,352,165 | ||||||
Charles Schwab Corp. |
212,967 | 11,155,211 | ||||||
Chubb Ltd. |
121,220 | 23,538,500 | ||||||
CME Group, Inc. |
19,101 | 3,658,224 | ||||||
Crown Castle, Inc. REIT |
12,270 | 1,642,217 | ||||||
Equity Residential REIT |
250,306 | 15,018,360 | ||||||
Goldman Sachs Group, Inc. |
20,159 | 6,594,210 | ||||||
Hartford Financial Services Group, Inc. |
120,784 | 8,417,437 | ||||||
JPMorgan Chase & Co. |
185,808 | 24,212,640 | ||||||
Marsh & McLennan Cos., Inc. |
146,910 | 24,467,861 | ||||||
Morgan Stanley |
175,665 | 15,423,387 | ||||||
Progressive Corp. |
62,638 | 8,960,992 | ||||||
Rexford Industrial Realty, Inc. REIT |
141,188 | 8,421,864 | ||||||
Visa, Inc. Class A |
124,350 | 28,035,951 | ||||||
Wells Fargo & Co. |
335,127 | 12,527,047 | ||||||
|
|
|||||||
246,046,160 | ||||||||
|
|
|||||||
Industrial - 14.2% |
||||||||
Agilent Technologies, Inc. |
101,172 | 13,996,134 | ||||||
Amphenol Corp. Class A |
130,501 | 10,664,542 | ||||||
Ball Corp. |
141,988 | 7,824,959 | ||||||
General Electric Co. |
216,695 | 20,716,042 | ||||||
Honeywell International, Inc. |
97,291 | 18,594,256 | ||||||
Howmet Aerospace, Inc. |
194,205 | 8,228,466 | ||||||
Illinois Tool Works, Inc. |
43,044 | 10,479,062 | ||||||
JB Hunt Transport Services, Inc. |
43,228 | 7,584,785 | ||||||
Northrop Grumman Corp. |
30,674 | 14,162,799 | ||||||
Old Dominion Freight Line, Inc. |
25,403 | 8,658,358 | ||||||
Otis Worldwide Corp. |
78,647 | 6,637,807 | ||||||
Schneider Electric SE |
47,012 | 7,856,823 | ||||||
Stanley Black & Decker, Inc. |
79,234 | 6,384,676 | ||||||
TE Connectivity Ltd. |
92,911 | 12,185,277 | ||||||
Trane Technologies PLC |
44,354 | 8,160,249 | ||||||
Union Pacific Corp. |
79,170 | 15,933,754 | ||||||
United Parcel Service, Inc. Class B |
45,115 | 8,751,859 | ||||||
Waste Connections, Inc. |
106,426 | 14,800,664 | ||||||
|
|
|||||||
201,620,512 | ||||||||
|
|
|||||||
Technology - 17.4% |
||||||||
Accenture PLC Class A |
88,994 | 25,435,375 | ||||||
Apple, Inc. |
345,740 | 57,012,526 | ||||||
Applied Materials, Inc. |
81,731 | 10,039,019 | ||||||
Broadridge Financial Solutions, Inc. |
82,987 | 12,163,405 | ||||||
Fidelity National Information Services, Inc. |
89,819 | 4,879,866 | ||||||
KLA Corp. |
24,760 | 9,883,449 | ||||||
Microchip Technology, Inc. |
98,686 | 8,267,913 | ||||||
Microsoft Corp. |
253,615 | 73,117,204 | ||||||
QUALCOMM, Inc. |
35,197 | 4,490,433 | ||||||
Roper Technologies, Inc. |
46,552 | 20,515,001 | ||||||
Texas Instruments, Inc. |
111,394 | 20,720,398 | ||||||
|
|
|||||||
246,524,589 | ||||||||
|
|
|||||||
Utilities - 3.3% |
||||||||
Ameren Corp. |
167,367 | 14,458,835 | ||||||
Atmos Energy Corp. |
68,379 | 7,683,065 | ||||||
CMS Energy Corp. |
185,723 | 11,399,678 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
85
PACIFIC SELECT FUND
DIVIDEND GROWTH PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
NextEra Energy, Inc. |
54,605 | $4,208,953 | ||||||
WEC Energy Group, Inc. |
91,809 | 8,702,575 | ||||||
|
|
|||||||
46,453,106 | ||||||||
|
|
|||||||
Total Common Stocks |
1,362,263,991 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 3.7% |
||||||||
Repurchase Agreement - 3.7% |
||||||||
Fixed Income Clearing Corp. |
$51,939,624 | 51,939,624 | ||||||
|
|
|||||||
Total Short-Term Investment |
51,939,624 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
1,419,343,999 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.0% |
|
239,251 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
|
$1,419,583,250 | ||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Preferred Stocks |
$5,140,384 | $- | $5,140,384 | $- | |||||||||||||
Common Stocks |
||||||||||||||||||
Basic Materials |
46,871,917 | 46,871,917 | - | - | ||||||||||||||
Communications |
11,714,209 | 11,714,209 | - | - | ||||||||||||||
Consumer, Cyclical |
146,517,085 | 146,517,085 | - | - | ||||||||||||||
Consumer, Non-Cyclical |
377,992,652 | 364,264,936 | 13,727,716 | - | ||||||||||||||
Energy |
38,523,761 | 31,459,029 | 7,064,732 | - | ||||||||||||||
Financial |
246,046,160 | 246,046,160 | - | - | ||||||||||||||
Industrial |
201,620,512 | 193,763,689 | 7,856,823 | - | ||||||||||||||
Technology |
246,524,589 | 246,524,589 | - | - | ||||||||||||||
Utilities |
46,453,106 | 46,453,106 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
1,362,263,991 | 1,333,614,720 | 28,649,271 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment |
51,939,624 | - | 51,939,624 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,419,343,999 | $1,333,614,720 | $85,729,279 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
86
PACIFIC SELECT FUND
EQUITY INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 99.8% |
| |||||||
Basic Materials - 2.2% |
| |||||||
Air Products & Chemicals, Inc. |
25,654 | $7,368,085 | ||||||
Albemarle Corp. |
13,583 | 3,002,386 | ||||||
Celanese Corp. |
10,995 | 1,197,246 | ||||||
CF Industries Holdings, Inc. |
22,841 | 1,655,744 | ||||||
Dow, Inc. |
82,005 | 4,495,514 | ||||||
DuPont de Nemours, Inc. |
55,458 | 3,980,221 | ||||||
Eastman Chemical Co. |
14,195 | 1,197,206 | ||||||
Ecolab, Inc. |
28,625 | 4,738,296 | ||||||
FMC Corp. |
14,448 | 1,764,534 | ||||||
Freeport-McMoRan, Inc. |
165,109 | 6,754,609 | ||||||
International Flavors & Fragrances, Inc. |
29,169 | 2,682,381 | ||||||
International Paper Co. |
42,181 | 1,521,047 | ||||||
Linde PLC |
56,895 | 20,222,759 | ||||||
LyondellBasell Industries NV Class A |
28,992 | 2,722,059 | ||||||
Mosaic Co. |
40,519 | 1,859,012 | ||||||
Newmont Corp. |
91,689 | 4,494,595 | ||||||
Nucor Corp. |
29,232 | 4,515,467 | ||||||
PPG Industries, Inc. |
27,149 | 3,626,563 | ||||||
Sherwin-Williams Co. |
27,241 | 6,122,960 | ||||||
Steel Dynamics, Inc. |
18,798 | 2,125,302 | ||||||
|
|
|||||||
86,045,986 | ||||||||
|
|
|||||||
Communications - 12.1% |
||||||||
Alphabet, Inc. Class A * |
688,010 | 71,367,277 | ||||||
Alphabet, Inc. Class C * |
599,775 | 62,376,600 | ||||||
Amazon.com, Inc. * |
1,029,834 | 106,371,554 | ||||||
Arista Networks, Inc. * |
28,592 | 4,799,453 | ||||||
AT&T, Inc. |
823,394 | 15,850,335 | ||||||
Booking Holdings, Inc. * |
4,488 | 11,904,016 | ||||||
CDW Corp. |
15,320 | 2,985,715 | ||||||
Charter Communications, Inc. Class A * |
12,544 | 4,485,860 | ||||||
Cisco Systems, Inc. |
474,550 | 24,807,101 | ||||||
Comcast Corp. Class A |
486,186 | 18,431,311 | ||||||
Corning, Inc. |
87,934 | 3,102,312 | ||||||
DISH Network Corp. Class A * |
24,949 | 232,774 | ||||||
eBay, Inc. |
62,933 | 2,792,337 | ||||||
Etsy, Inc. * |
14,276 | 1,589,347 | ||||||
Expedia Group, Inc. * |
17,141 | 1,663,191 | ||||||
F5, Inc. * |
7,043 | 1,026,095 | ||||||
FactSet Research Systems, Inc. |
4,457 | 1,850,056 | ||||||
Fox Corp. Class A |
34,199 | 1,164,476 | ||||||
Fox Corp. Class B |
14,368 | 449,862 | ||||||
Gen Digital, Inc. |
65,904 | 1,130,913 | ||||||
Interpublic Group of Cos., Inc. |
45,604 | 1,698,293 | ||||||
Juniper Networks, Inc. |
36,259 | 1,248,035 | ||||||
Match Group, Inc. * |
33,559 | 1,288,330 | ||||||
Meta Platforms, Inc. Class A * |
257,110 | 54,491,893 | ||||||
Motorola Solutions, Inc. |
19,315 | 5,526,601 | ||||||
Netflix, Inc. * |
51,444 | 17,772,873 | ||||||
News Corp. Class A |
44,294 | 764,957 | ||||||
News Corp. Class B |
11,270 | 196,436 | ||||||
Omnicom Group, Inc. |
22,852 | 2,155,858 | ||||||
Paramount Global Class B |
61,474 | 1,371,485 | ||||||
T-Mobile US, Inc. * |
68,420 | 9,909,953 | ||||||
VeriSign, Inc. * |
10,715 | 2,264,401 | ||||||
Verizon Communications, Inc. |
485,152 | 18,867,561 | ||||||
Walt Disney Co. * |
211,025 | 21,129,933 | ||||||
Warner Bros Discovery, Inc. * |
257,915 | 3,894,517 | ||||||
|
|
|||||||
480,961,711 | ||||||||
|
|
|||||||
Consumer, Cyclical - 9.4% |
||||||||
Advance Auto Parts, Inc. |
6,813 | 828,529 | ||||||
Alaska Air Group, Inc. * |
13,969 | 586,139 | ||||||
American Airlines Group, Inc. * |
73,874 | 1,089,641 | ||||||
Aptiv PLC * |
31,299 | 3,511,435 |
Shares |
Value |
|||||||
AutoZone, Inc. * |
2,217 | $5,449,719 | ||||||
Bath & Body Works, Inc. |
27,606 | 1,009,827 | ||||||
Best Buy Co., Inc. |
22,158 | 1,734,307 | ||||||
BorgWarner, Inc. |
27,071 | 1,329,457 | ||||||
Caesars Entertainment, Inc. * |
25,691 | 1,253,978 | ||||||
CarMax, Inc. * |
17,570 | 1,129,400 | ||||||
Carnival Corp. * |
121,389 | 1,232,098 | ||||||
Chipotle Mexican Grill, Inc. * |
3,193 | 5,454,570 | ||||||
Copart, Inc. * |
49,518 | 3,724,249 | ||||||
Costco Wholesale Corp. |
51,258 | 25,468,562 | ||||||
Cummins, Inc. |
16,322 | 3,898,999 | ||||||
Darden Restaurants, Inc. |
13,788 | 2,139,346 | ||||||
Delta Air Lines, Inc. * |
75,520 | 2,637,158 | ||||||
Dollar General Corp. |
25,560 | 5,379,358 | ||||||
Dollar Tree, Inc. * |
24,023 | 3,448,502 | ||||||
Dominos Pizza, Inc. |
4,229 | 1,395,020 | ||||||
DR Horton, Inc. |
35,921 | 3,509,122 | ||||||
Fastenal Co. |
65,940 | 3,556,804 | ||||||
Ford Motor Co. |
452,281 | 5,698,741 | ||||||
General Motors Co. |
163,370 | 5,992,412 | ||||||
Genuine Parts Co. |
16,283 | 2,724,309 | ||||||
Hasbro, Inc. |
15,081 | 809,699 | ||||||
Hilton Worldwide Holdings, Inc. |
30,919 | 4,355,560 | ||||||
Home Depot, Inc. |
117,732 | 34,745,068 | ||||||
Las Vegas Sands Corp. * |
37,334 | 2,144,838 | ||||||
Lennar Corp. Class A |
29,547 | 3,105,685 | ||||||
Live Nation Entertainment, Inc. * |
16,213 | 1,134,910 | ||||||
LKQ Corp. |
29,051 | 1,648,935 | ||||||
Lowes Cos., Inc. |
69,953 | 13,988,501 | ||||||
Marriott International, Inc. Class A |
31,027 | 5,151,723 | ||||||
McDonalds Corp. |
84,606 | 23,656,684 | ||||||
MGM Resorts International |
35,988 | 1,598,587 | ||||||
Newell Brands, Inc. |
39,580 | 492,375 | ||||||
NIKE, Inc. Class B |
143,894 | 17,647,160 | ||||||
Norwegian Cruise Line Holdings Ltd. * |
48,659 | 654,464 | ||||||
NVR, Inc. * |
359 | 2,000,416 | ||||||
OReilly Automotive, Inc. * |
7,175 | 6,091,431 | ||||||
PACCAR, Inc. |
60,884 | 4,456,709 | ||||||
Pool Corp. |
4,427 | 1,515,982 | ||||||
PulteGroup, Inc. |
25,006 | 1,457,350 | ||||||
Ralph Lauren Corp. |
4,766 | 556,049 | ||||||
Ross Stores, Inc. |
39,127 | 4,152,549 | ||||||
Royal Caribbean Cruises Ltd. * |
24,428 | 1,595,148 | ||||||
Southwest Airlines Co. |
67,815 | 2,206,700 | ||||||
Starbucks Corp. |
132,762 | 13,824,507 | ||||||
Tapestry, Inc. |
28,065 | 1,209,882 | ||||||
Target Corp. |
53,173 | 8,807,044 | ||||||
Tesla, Inc. * |
310,677 | 64,453,050 | ||||||
TJX Cos., Inc. |
133,479 | 10,459,414 | ||||||
Tractor Supply Co. |
12,539 | 2,947,167 | ||||||
Ulta Beauty, Inc. * |
5,951 | 3,247,282 | ||||||
United Airlines Holdings, Inc. * |
38,529 | 1,704,908 | ||||||
VF Corp. |
36,418 | 834,336 | ||||||
Walgreens Boots Alliance, Inc. |
81,786 | 2,828,160 | ||||||
Walmart, Inc. |
161,992 | 23,885,720 | ||||||
Whirlpool Corp. |
6,457 | 852,453 | ||||||
WW Grainger, Inc. |
5,212 | 3,590,078 | ||||||
Wynn Resorts Ltd. * |
12,045 | 1,347,956 | ||||||
Yum! Brands, Inc. |
31,925 | 4,216,654 | ||||||
|
|
|||||||
373,556,816 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 21.3% |
||||||||
Abbott Laboratories |
201,410 | 20,394,777 | ||||||
AbbVie, Inc. |
204,287 | 32,557,219 | ||||||
Align Technology, Inc. * |
8,494 | 2,838,185 | ||||||
Altria Group, Inc. |
206,257 | 9,203,187 | ||||||
AmerisourceBergen Corp. |
18,691 | 2,992,616 | ||||||
Amgen, Inc. |
61,683 | 14,911,865 | ||||||
Archer-Daniels-Midland Co. |
63,147 | 5,030,290 | ||||||
Automatic Data Processing, Inc. |
47,864 | 10,655,962 | ||||||
Avery Dennison Corp. |
9,367 | 1,676,037 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
87
PACIFIC SELECT FUND
EQUITY INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Baxter International, Inc. |
57,089 | $2,315,530 | ||||||
Becton Dickinson & Co. |
32,795 | 8,118,074 | ||||||
Bio-Rad Laboratories, Inc. Class A * |
2,591 | 1,241,141 | ||||||
Bio-Techne Corp. |
17,632 | 1,308,118 | ||||||
Biogen, Inc. * |
16,379 | 4,553,853 | ||||||
Boston Scientific Corp. * |
165,454 | 8,277,664 | ||||||
Bristol-Myers Squibb Co. |
245,604 | 17,022,813 | ||||||
Brown-Forman Corp. Class B |
20,644 | 1,326,790 | ||||||
Bunge Ltd. |
16,867 | 1,611,136 | ||||||
Campbell Soup Co. |
22,767 | 1,251,730 | ||||||
Cardinal Health, Inc. |
30,561 | 2,307,356 | ||||||
Catalent, Inc. * |
21,035 | 1,382,210 | ||||||
Centene Corp. * |
64,382 | 4,069,586 | ||||||
Charles River Laboratories International, Inc. * |
5,633 | 1,136,852 | ||||||
Church & Dwight Co., Inc. |
27,868 | 2,463,810 | ||||||
Cigna Group |
34,263 | 8,755,224 | ||||||
Cintas Corp. |
10,009 | 4,630,964 | ||||||
Clorox Co. |
14,269 | 2,257,927 | ||||||
Coca-Cola Co. |
449,593 | 27,888,254 | ||||||
Colgate-Palmolive Co. |
96,480 | 7,250,472 | ||||||
Conagra Brands, Inc. |
54,974 | 2,064,823 | ||||||
Constellation Brands, Inc. Class A |
18,755 | 4,236,567 | ||||||
Cooper Cos., Inc. |
5,567 | 2,078,495 | ||||||
Corteva, Inc. |
82,902 | 4,999,820 | ||||||
CoStar Group, Inc. * |
46,979 | 3,234,504 | ||||||
CVS Health Corp. |
147,457 | 10,957,530 | ||||||
Danaher Corp. |
75,717 | 19,083,713 | ||||||
DaVita, Inc. * |
6,693 | 542,869 | ||||||
Dentsply Sirona, Inc. |
24,679 | 969,391 | ||||||
Dexcom, Inc. * |
44,330 | 5,150,259 | ||||||
Edwards Lifesciences Corp. * |
71,571 | 5,921,069 | ||||||
Elevance Health, Inc. |
27,588 | 12,685,238 | ||||||
Eli Lilly & Co. |
91,101 | 31,285,905 | ||||||
Equifax, Inc. |
14,004 | 2,840,571 | ||||||
Estee Lauder Cos., Inc. Class A |
26,762 | 6,595,763 | ||||||
FleetCor Technologies, Inc. * |
8,377 | 1,766,290 | ||||||
Gartner, Inc. * |
9,128 | 2,973,629 | ||||||
GE HealthCare Technologies, Inc. * |
42,409 | 3,478,810 | ||||||
General Mills, Inc. |
68,354 | 5,841,533 | ||||||
Gilead Sciences, Inc. |
144,048 | 11,951,663 | ||||||
Global Payments, Inc. |
31,502 | 3,315,270 | ||||||
HCA Healthcare, Inc. |
24,285 | 6,403,469 | ||||||
Henry Schein, Inc. * |
15,796 | 1,288,006 | ||||||
Hershey Co. |
17,014 | 4,328,532 | ||||||
Hologic, Inc. * |
28,928 | 2,334,490 | ||||||
Hormel Foods Corp. |
32,734 | 1,305,432 | ||||||
Humana, Inc. |
14,437 | 7,008,586 | ||||||
IDEXX Laboratories, Inc. * |
9,491 | 4,746,259 | ||||||
Illumina, Inc. * |
18,171 | 4,225,666 | ||||||
Incyte Corp. * |
21,164 | 1,529,522 | ||||||
Insulet Corp. * |
8,185 | 2,610,688 | ||||||
Intuitive Surgical, Inc. * |
40,585 | 10,368,250 | ||||||
IQVIA Holdings, Inc. * |
21,451 | 4,266,389 | ||||||
J M Smucker Co. |
12,294 | 1,934,707 | ||||||
Johnson & Johnson |
302,013 | 46,812,015 | ||||||
Kellogg Co. |
30,273 | 2,027,080 | ||||||
Keurig Dr Pepper, Inc. |
96,540 | 3,405,931 | ||||||
Kimberly-Clark Corp. |
38,987 | 5,232,835 | ||||||
Kraft Heinz Co. |
91,974 | 3,556,635 | ||||||
Kroger Co. |
75,247 | 3,714,944 | ||||||
Laboratory Corp. of America Holdings |
10,118 | 2,321,272 | ||||||
Lamb Weston Holdings, Inc. |
16,937 | 1,770,255 | ||||||
MarketAxess Holdings, Inc. |
4,303 | 1,683,721 | ||||||
McCormick & Co., Inc. |
28,263 | 2,351,764 | ||||||
McKesson Corp. |
16,218 | 5,774,419 | ||||||
Medtronic PLC |
153,656 | 12,387,747 | ||||||
Merck & Co., Inc. |
292,878 | 31,159,290 | ||||||
Moderna, Inc. * |
37,860 | 5,814,539 | ||||||
Molina Healthcare, Inc. * |
6,909 | 1,848,088 | ||||||
Molson Coors Beverage Co. Class B |
22,107 | 1,142,490 | ||||||
Mondelez International, Inc. Class A |
157,483 | 10,979,715 | ||||||
Monster Beverage Corp. * |
87,994 | 4,752,556 |
Shares |
Value |
|||||||
Moodys Corp. |
18,200 | $5,569,564 | ||||||
Organon & Co. |
28,657 | 674,013 | ||||||
PayPal Holdings, Inc. * |
130,152 | 9,883,743 | ||||||
PepsiCo, Inc. |
159,094 | 29,002,836 | ||||||
PerkinElmer, Inc. |
14,933 | 1,989,972 | ||||||
Pfizer, Inc. |
648,425 | 26,455,740 | ||||||
Philip Morris International, Inc. |
179,076 | 17,415,141 | ||||||
Procter & Gamble Co. |
272,518 | 40,520,701 | ||||||
Quanta Services, Inc. |
16,274 | 2,711,899 | ||||||
Quest Diagnostics, Inc. |
12,931 | 1,829,478 | ||||||
Regeneron Pharmaceuticals, Inc. * |
12,419 | 10,204,320 | ||||||
ResMed, Inc. |
17,132 | 3,751,737 | ||||||
Robert Half International, Inc. |
12,427 | 1,001,243 | ||||||
Rollins, Inc. |
27,278 | 1,023,743 | ||||||
S&P Global, Inc. |
38,028 | 13,110,914 | ||||||
STERIS PLC |
11,737 | 2,245,053 | ||||||
Stryker Corp. |
38,947 | 11,118,200 | ||||||
Sysco Corp. |
58,984 | 4,555,334 | ||||||
Teleflex, Inc. |
5,288 | 1,339,503 | ||||||
Thermo Fisher Scientific, Inc. |
45,305 | 26,112,443 | ||||||
Tyson Foods, Inc. Class A |
32,118 | 1,905,240 | ||||||
United Rentals, Inc. |
8,043 | 3,183,098 | ||||||
UnitedHealth Group, Inc. |
107,932 | 51,007,584 | ||||||
Universal Health Services, Inc. Class B |
7,429 | 944,226 | ||||||
Verisk Analytics, Inc. |
17,816 | 3,418,178 | ||||||
Vertex Pharmaceuticals, Inc. * |
29,698 | 9,356,949 | ||||||
Viatris, Inc. |
136,711 | 1,315,160 | ||||||
Waters Corp. * |
7,035 | 2,178,247 | ||||||
West Pharmaceutical Services, Inc. |
8,531 | 2,955,736 | ||||||
Zimmer Biomet Holdings, Inc. |
23,807 | 3,075,864 | ||||||
Zoetis, Inc. |
53,839 | 8,960,963 | ||||||
|
|
|||||||
849,305,468 | ||||||||
|
|
|||||||
Energy - 4.8% |
||||||||
APA Corp. |
37,604 | 1,356,000 | ||||||
Baker Hughes Co. |
116,759 | 3,369,665 | ||||||
Chevron Corp. |
205,496 | 33,528,727 | ||||||
ConocoPhillips |
141,553 | 14,043,473 | ||||||
Coterra Energy, Inc. |
89,891 | 2,205,925 | ||||||
Devon Energy Corp. |
75,961 | 3,844,386 | ||||||
Diamondback Energy, Inc. |
21,229 | 2,869,524 | ||||||
Enphase Energy, Inc. * |
15,774 | 3,316,957 | ||||||
EOG Resources, Inc. |
67,853 | 7,777,989 | ||||||
EQT Corp. |
41,200 | 1,314,692 | ||||||
Exxon Mobil Corp. |
475,693 | 52,164,494 | ||||||
First Solar, Inc. * |
11,722 | 2,549,535 | ||||||
Halliburton Co. |
104,435 | 3,304,323 | ||||||
Hess Corp. |
32,053 | 4,241,894 | ||||||
Kinder Morgan, Inc. |
228,518 | 4,001,350 | ||||||
Marathon Oil Corp. |
74,736 | 1,790,675 | ||||||
Marathon Petroleum Corp. |
52,818 | 7,121,451 | ||||||
Occidental Petroleum Corp. |
83,686 | 5,224,517 | ||||||
ONEOK, Inc. |
50,686 | 3,220,589 | ||||||
Phillips 66 |
53,827 | 5,456,981 | ||||||
Pioneer Natural Resources Co. |
27,446 | 5,605,571 | ||||||
Schlumberger NV |
164,054 | 8,055,052 | ||||||
SolarEdge Technologies, Inc. * |
6,567 | 1,996,040 | ||||||
Targa Resources Corp. |
26,814 | 1,956,081 | ||||||
Valero Energy Corp. |
43,455 | 6,066,318 | ||||||
Williams Cos., Inc. |
141,386 | 4,221,786 | ||||||
|
|
|||||||
190,603,995 | ||||||||
|
|
|||||||
Financial - 14.0% |
||||||||
Aflac, Inc. |
65,171 | 4,204,833 | ||||||
Alexandria Real Estate Equities, Inc. REIT |
18,195 | 2,285,110 | ||||||
Allstate Corp. |
30,219 | 3,348,567 | ||||||
American Express Co. |
68,773 | 11,344,106 | ||||||
American International Group, Inc. |
83,873 | 4,223,844 | ||||||
American Tower Corp. REIT |
53,785 | 10,990,427 | ||||||
Ameriprise Financial, Inc. |
12,318 | 3,775,467 | ||||||
Aon PLC Class A |
23,658 | 7,459,131 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
88
PACIFIC SELECT FUND
EQUITY INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Arch Capital Group Ltd. * |
43,160 | $2,929,269 | ||||||
Arthur J Gallagher & Co. |
24,500 | 4,687,095 | ||||||
Assurant, Inc. |
5,817 | 698,447 | ||||||
AvalonBay Communities, Inc. REIT |
16,004 | 2,689,632 | ||||||
Bank of America Corp. |
806,242 | 23,058,521 | ||||||
Bank of New York Mellon Corp. |
84,966 | 3,860,855 | ||||||
Berkshire Hathaway, Inc. Class B * |
208,127 | 64,263,374 | ||||||
BlackRock, Inc. |
17,299 | 11,575,107 | ||||||
Boston Properties, Inc. REIT |
15,602 | 844,380 | ||||||
Brown & Brown, Inc. |
26,420 | 1,517,036 | ||||||
Camden Property Trust REIT |
12,249 | 1,284,185 | ||||||
Capital One Financial Corp. |
44,154 | 4,245,849 | ||||||
Cboe Global Markets, Inc. |
11,891 | 1,596,248 | ||||||
CBRE Group, Inc. Class A * |
36,618 | 2,666,157 | ||||||
Charles Schwab Corp. |
176,197 | 9,229,199 | ||||||
Chubb Ltd. |
47,945 | 9,309,960 | ||||||
Cincinnati Financial Corp. |
17,742 | 1,988,523 | ||||||
Citigroup, Inc. |
223,737 | 10,491,028 | ||||||
Citizens Financial Group, Inc. |
58,508 | 1,776,888 | ||||||
CME Group, Inc. |
41,554 | 7,958,422 | ||||||
Comerica, Inc. |
16,559 | 718,992 | ||||||
Crown Castle, Inc. REIT |
50,018 | 6,694,409 | ||||||
Digital Realty Trust, Inc. REIT |
33,403 | 3,283,849 | ||||||
Discover Financial Services |
31,250 | 3,088,750 | ||||||
Equinix, Inc. REIT |
10,690 | 7,707,918 | ||||||
Equity Residential REIT |
39,346 | 2,360,760 | ||||||
Essex Property Trust, Inc. REIT |
7,361 | 1,539,480 | ||||||
Everest Re Group Ltd. |
4,671 | 1,672,311 | ||||||
Extra Space Storage, Inc. REIT |
15,508 | 2,526,719 | ||||||
Federal Realty Investment Trust REIT |
8,328 | 823,056 | ||||||
Fifth Third Bancorp |
77,136 | 2,054,903 | ||||||
First Republic Bank |
20,463 | 286,277 | ||||||
Franklin Resources, Inc. |
31,577 | 850,684 | ||||||
Globe Life, Inc. |
10,410 | 1,145,308 | ||||||
Goldman Sachs Group, Inc. |
39,118 | 12,795,889 | ||||||
Hartford Financial Services Group, Inc. |
36,853 | 2,568,286 | ||||||
Healthpeak Properties, Inc. REIT |
61,010 | 1,340,390 | ||||||
Host Hotels & Resorts, Inc. REIT |
83,118 | 1,370,616 | ||||||
Huntington Bancshares, Inc. |
169,115 | 1,894,088 | ||||||
Intercontinental Exchange, Inc. |
64,556 | 6,732,545 | ||||||
Invesco Ltd. |
50,174 | 822,854 | ||||||
Invitation Homes, Inc. REIT |
67,588 | 2,110,773 | ||||||
Iron Mountain, Inc. REIT |
33,579 | 1,776,665 | ||||||
JPMorgan Chase & Co. |
338,830 | 44,152,937 | ||||||
KeyCorp |
103,882 | 1,300,603 | ||||||
Kimco Realty Corp. REIT |
74,038 | 1,445,962 | ||||||
Lincoln National Corp. |
18,100 | 406,707 | ||||||
Loews Corp. |
22,736 | 1,319,143 | ||||||
M&T Bank Corp. |
19,815 | 2,369,280 | ||||||
Marsh & McLennan Cos., Inc. |
57,180 | 9,523,329 | ||||||
Mastercard, Inc. Class A |
97,463 | 35,419,029 | ||||||
MetLife, Inc. |
75,462 | 4,372,268 | ||||||
Mid-America Apartment Communities, Inc. REIT |
13,739 | 2,075,139 | ||||||
Morgan Stanley |
150,583 | 13,221,187 | ||||||
Nasdaq, Inc. |
38,864 | 2,124,695 | ||||||
Northern Trust Corp. |
23,614 | 2,081,102 | ||||||
PNC Financial Services Group, Inc. |
45,984 | 5,844,566 | ||||||
Principal Financial Group, Inc. |
25,167 | 1,870,412 | ||||||
Progressive Corp. |
67,565 | 9,665,849 | ||||||
Prologis, Inc. REIT |
106,630 | 13,304,225 | ||||||
Prudential Financial, Inc. |
41,373 | 3,423,202 | ||||||
Public Storage REIT |
18,260 | 5,517,076 | ||||||
Raymond James Financial, Inc. |
21,934 | 2,045,784 | ||||||
Realty Income Corp. REIT |
72,446 | 4,587,281 | ||||||
Regency Centers Corp. REIT |
17,121 | 1,047,463 | ||||||
Regions Financial Corp. |
108,560 | 2,014,874 | ||||||
SBA Communications Corp. REIT |
12,484 | 3,259,198 | ||||||
Simon Property Group, Inc. REIT |
37,767 | 4,228,771 | ||||||
State Street Corp. |
40,333 | 3,052,805 | ||||||
Synchrony Financial |
54,639 | 1,588,902 | ||||||
T Rowe Price Group, Inc. |
25,299 | 2,856,257 | ||||||
Travelers Cos., Inc. |
27,010 | 4,629,784 |
Shares |
Value |
|||||||
Truist Financial Corp. |
153,973 | $5,250,479 | ||||||
UDR, Inc. REIT |
36,922 | 1,516,017 | ||||||
US Bancorp |
160,937 | 5,801,779 | ||||||
Ventas, Inc. REIT |
46,222 | 2,003,724 | ||||||
VICI Properties, Inc. REIT |
115,942 | 3,782,028 | ||||||
Visa, Inc. Class A |
187,707 | 42,320,420 | ||||||
W R Berkley Corp. |
23,655 | 1,472,760 | ||||||
Wells Fargo & Co. |
440,171 | 16,453,592 | ||||||
Welltower, Inc. REIT |
54,583 | 3,913,055 | ||||||
Weyerhaeuser Co. REIT |
85,974 | 2,590,397 | ||||||
Willis Towers Watson PLC |
12,490 | 2,902,426 | ||||||
Zions Bancorp NA |
17,603 | 526,858 | ||||||
|
|
|||||||
557,748,547 | ||||||||
|
|
|||||||
Industrial - 8.0% |
||||||||
3M Co. |
63,591 | 6,684,050 | ||||||
Agilent Technologies, Inc. |
34,453 | 4,766,228 | ||||||
Allegion PLC |
10,056 | 1,073,277 | ||||||
Amcor PLC |
175,394 | 1,995,984 | ||||||
AMETEK, Inc. |
26,529 | 3,855,460 | ||||||
Amphenol Corp. Class A |
68,686 | 5,613,020 | ||||||
AO Smith Corp. |
14,802 | 1,023,558 | ||||||
Ball Corp. |
35,791 | 1,972,442 | ||||||
Boeing Co. * |
64,960 | 13,799,453 | ||||||
Carrier Global Corp. |
95,845 | 4,384,909 | ||||||
Caterpillar, Inc. |
60,115 | 13,756,717 | ||||||
CH Robinson Worldwide, Inc. |
13,856 | 1,376,871 | ||||||
CSX Corp. |
243,524 | 7,291,109 | ||||||
Deere & Co. |
31,323 | 12,932,640 | ||||||
Dover Corp. |
16,269 | 2,471,912 | ||||||
Eaton Corp. PLC |
45,941 | 7,871,531 | ||||||
Emerson Electric Co. |
66,488 | 5,793,764 | ||||||
Expeditors International of Washington, Inc. |
18,108 | 1,994,053 | ||||||
FedEx Corp. |
26,899 | 6,146,153 | ||||||
Fortive Corp. |
40,754 | 2,778,200 | ||||||
Garmin Ltd. |
17,915 | 1,807,982 | ||||||
Generac Holdings, Inc. * |
7,119 | 768,923 | ||||||
General Dynamics Corp. |
25,995 | 5,932,319 | ||||||
General Electric Co. |
125,830 | 12,029,348 | ||||||
Honeywell International, Inc. |
77,181 | 14,750,833 | ||||||
Howmet Aerospace, Inc. |
43,244 | 1,832,248 | ||||||
Huntington Ingalls Industries, Inc. |
4,604 | 953,120 | ||||||
IDEX Corp. |
8,858 | 2,046,464 | ||||||
Illinois Tool Works, Inc. |
32,068 | 7,806,955 | ||||||
Ingersoll Rand, Inc. |
45,835 | 2,666,680 | ||||||
Jacobs Solutions, Inc. |
14,550 | 1,709,770 | ||||||
JB Hunt Transport Services, Inc. |
9,458 | 1,659,501 | ||||||
Johnson Controls International PLC |
79,929 | 4,813,324 | ||||||
Keysight Technologies, Inc. * |
20,360 | 3,287,733 | ||||||
L3Harris Technologies, Inc. |
22,119 | 4,340,633 | ||||||
Lockheed Martin Corp. |
26,563 | 12,557,127 | ||||||
Martin Marietta Materials, Inc. |
7,051 | 2,503,528 | ||||||
Masco Corp. |
26,949 | 1,339,904 | ||||||
Mettler-Toledo International, Inc. * |
2,573 | 3,937,230 | ||||||
Mohawk Industries, Inc. * |
5,906 | 591,899 | ||||||
Nordson Corp. |
5,993 | 1,332,004 | ||||||
Norfolk Southern Corp. |
26,185 | 5,551,220 | ||||||
Northrop Grumman Corp. |
16,619 | 7,673,325 | ||||||
Old Dominion Freight Line, Inc. |
10,422 | 3,552,234 | ||||||
Otis Worldwide Corp. |
47,924 | 4,044,786 | ||||||
Packaging Corp. of America |
10,504 | 1,458,270 | ||||||
Parker-Hannifin Corp. |
14,870 | 4,997,956 | ||||||
Pentair PLC |
18,808 | 1,039,518 | ||||||
Raytheon Technologies Corp. |
169,225 | 16,572,204 | ||||||
Republic Services, Inc. |
23,790 | 3,216,884 | ||||||
Rockwell Automation, Inc. |
13,259 | 3,890,854 | ||||||
Sealed Air Corp. |
16,000 | 734,560 | ||||||
Snap-on, Inc. |
6,242 | 1,541,087 | ||||||
Stanley Black & Decker, Inc. |
16,912 | 1,362,769 | ||||||
TE Connectivity Ltd. |
36,570 | 4,796,155 | ||||||
Teledyne Technologies, Inc. * |
5,427 | 2,427,823 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
89
PACIFIC SELECT FUND
EQUITY INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Textron, Inc. |
24,771 | $1,749,576 | ||||||
Trane Technologies PLC |
26,237 | 4,827,083 | ||||||
TransDigm Group, Inc. |
5,992 | 4,416,404 | ||||||
Trimble, Inc. * |
28,669 | 1,502,829 | ||||||
Union Pacific Corp. |
70,798 | 14,248,805 | ||||||
United Parcel Service, Inc. Class B |
84,306 | 16,354,521 | ||||||
Vulcan Materials Co. |
15,124 | 2,594,673 | ||||||
Waste Management, Inc. |
42,485 | 6,932,277 | ||||||
Westinghouse Air Brake Technologies Corp. |
21,313 | 2,153,892 | ||||||
Westrock Co. |
31,377 | 956,057 | ||||||
Xylem, Inc. |
20,402 | 2,136,089 | ||||||
|
|
|||||||
316,980,707 | ||||||||
|
|
|||||||
Technology - 25.1% |
||||||||
Accenture PLC Class A |
72,745 | 20,791,249 | ||||||
Activision Blizzard, Inc. |
82,269 | 7,041,404 | ||||||
Adobe, Inc. * |
52,895 | 20,384,146 | ||||||
Advanced Micro Devices, Inc. * |
186,252 | 18,254,559 | ||||||
Akamai Technologies, Inc. * |
18,882 | 1,478,461 | ||||||
Analog Devices, Inc. |
58,372 | 11,512,126 | ||||||
ANSYS, Inc. * |
9,838 | 3,274,086 | ||||||
Apple, Inc. |
1,718,019 | 283,301,333 | ||||||
Applied Materials, Inc. |
97,196 | 11,938,585 | ||||||
Autodesk, Inc. * |
25,050 | 5,214,408 | ||||||
Broadcom, Inc. |
48,272 | 30,968,419 | ||||||
Broadridge Financial Solutions, Inc. |
13,944 | 2,043,772 | ||||||
Cadence Design Systems, Inc. * |
31,688 | 6,657,332 | ||||||
Ceridian HCM Holding, Inc. * |
17,149 | 1,255,650 | ||||||
Cognizant Technology Solutions Corp. Class A |
58,586 | 3,569,645 | ||||||
DXC Technology Co. * |
27,250 | 696,510 | ||||||
Electronic Arts, Inc. |
29,986 | 3,611,814 | ||||||
EPAM Systems, Inc. * |
6,682 | 1,997,918 | ||||||
Fair Isaac Corp. * |
2,906 | 2,042,017 | ||||||
Fidelity National Information Services, Inc. |
68,619 | 3,728,070 | ||||||
Fiserv, Inc. * |
73,356 | 8,291,429 | ||||||
Fortinet, Inc. * |
75,410 | 5,011,749 | ||||||
Hewlett Packard Enterprise Co. |
147,770 | 2,353,976 | ||||||
HP, Inc. |
100,376 | 2,946,036 | ||||||
Intel Corp. |
477,888 | 15,612,601 | ||||||
International Business Machines Corp. |
104,441 | 13,691,171 | ||||||
Intuit, Inc. |
32,451 | 14,467,629 | ||||||
Jack Henry & Associates, Inc. |
8,352 | 1,258,813 | ||||||
KLA Corp. |
16,007 | 6,389,514 | ||||||
Lam Research Corp. |
15,587 | 8,262,980 | ||||||
Leidos Holdings, Inc. |
16,405 | 1,510,244 | ||||||
Microchip Technology, Inc. |
63,279 | 5,301,515 | ||||||
Micron Technology, Inc. |
124,856 | 7,533,811 | ||||||
Microsoft Corp. |
859,875 | 247,901,963 | ||||||
Monolithic Power Systems, Inc. |
5,170 | 2,587,792 | ||||||
MSCI, Inc. |
9,152 | 5,122,283 | ||||||
NetApp, Inc. |
25,211 | 1,609,722 | ||||||
NVIDIA Corp. |
284,168 | 78,933,345 | ||||||
NXP Semiconductors NV (China) |
29,750 | 5,547,631 | ||||||
ON Semiconductor Corp. * |
50,019 | 4,117,564 | ||||||
Oracle Corp. |
177,532 | 16,496,273 | ||||||
Paychex, Inc. |
37,377 | 4,283,030 | ||||||
Paycom Software, Inc. * |
5,716 | 1,737,721 | ||||||
PTC, Inc. * |
11,906 | 1,526,706 | ||||||
Qorvo, Inc. * |
12,111 | 1,230,114 | ||||||
QUALCOMM, Inc. |
128,800 | 16,432,304 | ||||||
Roper Technologies, Inc. |
12,251 | 5,398,893 | ||||||
Salesforce, Inc. * |
115,515 | 23,077,587 | ||||||
Seagate Technology Holdings PLC |
21,636 | 1,430,572 | ||||||
ServiceNow, Inc. * |
23,450 | 10,897,684 | ||||||
Skyworks Solutions, Inc. |
18,644 | 2,199,619 | ||||||
Synopsys, Inc. * |
17,607 | 6,800,704 | ||||||
Take-Two Interactive Software, Inc. * |
18,803 | 2,243,198 | ||||||
Teradyne, Inc. |
18,041 | 1,939,588 | ||||||
Texas Instruments, Inc. |
104,681 | 19,471,713 | ||||||
Tyler Technologies, Inc. * |
4,946 | 1,754,049 | ||||||
Western Digital Corp. * |
37,898 | 1,427,618 | ||||||
Zebra Technologies Corp. Class A * |
5,848 | 1,859,664 | ||||||
|
|
|||||||
998,420,309 | ||||||||
|
|
Shares |
Value |
|||||||
Utilities - 2.9% |
||||||||
AES Corp. |
75,668 | $1,822,085 | ||||||
Alliant Energy Corp. |
28,136 | 1,502,462 | ||||||
Ameren Corp. |
29,641 | 2,560,686 | ||||||
American Electric Power Co., Inc. |
59,359 | 5,401,075 | ||||||
American Water Works Co., Inc. |
22,291 | 3,265,409 | ||||||
Atmos Energy Corp. |
16,538 | 1,858,210 | ||||||
CenterPoint Energy, Inc. |
71,434 | 2,104,446 | ||||||
CMS Energy Corp. |
34,342 | 2,107,912 | ||||||
Consolidated Edison, Inc. |
41,459 | 3,966,383 | ||||||
Constellation Energy Corp. |
37,176 | 2,918,316 | ||||||
Dominion Energy, Inc. |
96,256 | 5,381,673 | ||||||
DTE Energy Co. |
21,893 | 2,398,159 | ||||||
Duke Energy Corp. |
88,947 | 8,580,717 | ||||||
Edison International |
43,214 | 3,050,476 | ||||||
Entergy Corp. |
23,801 | 2,564,320 | ||||||
Evergy, Inc. |
25,703 | 1,570,967 | ||||||
Eversource Energy |
40,278 | 3,152,156 | ||||||
Exelon Corp. |
114,793 | 4,808,679 | ||||||
FirstEnergy Corp. |
62,744 | 2,513,525 | ||||||
NextEra Energy, Inc. |
229,548 | 17,693,560 | ||||||
NiSource, Inc. |
46,075 | 1,288,257 | ||||||
NRG Energy, Inc. |
27,231 | 933,751 | ||||||
PG&E Corp. * |
186,482 | 3,015,414 | ||||||
Pinnacle West Capital Corp. |
13,040 | 1,033,290 | ||||||
PPL Corp. |
86,766 | 2,411,227 | ||||||
Public Service Enterprise Group, Inc. |
57,772 | 3,607,861 | ||||||
Sempra Energy |
36,419 | 5,505,096 | ||||||
Southern Co. |
125,759 | 8,750,311 | ||||||
WEC Energy Group, Inc. |
35,918 | 3,404,667 | ||||||
Xcel Energy, Inc. |
63,216 | 4,263,287 | ||||||
|
|
|||||||
113,434,377 | ||||||||
|
|
|||||||
Total Common Stocks |
3,967,057,916 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.2% |
||||||||
Repurchase Agreement - 0.2% |
||||||||
Fixed Income Clearing Corp. |
$9,604,848 | 9,604,848 | ||||||
|
|
|||||||
Total Short-Term Investment |
9,604,848 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
3,976,662,764 | |||||||
|
|
|||||||
DERIVATIVES - 0.0% |
579,257 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.0% |
|
1,286,058 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$3,978,528,079 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
90
PACIFIC SELECT FUND
EQUITY INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||
S&P 500 E-Mini Index |
06/23 | 58 | $11,420,218 | $11,999,475 | $579,257 | |||||||||||||
|
|
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$3,967,057,916 | $3,967,057,916 | $- | $- | |||||||||||||
Short-Term Investment |
9,604,848 | - | 9,604,848 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts Futures |
579,257 | 579,257 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$3,977,242,021 | $3,967,637,173 | $9,604,848 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
91
PACIFIC SELECT FUND
FOCUSED GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.0% |
| |||||||
Basic Materials - 3.9% |
| |||||||
Freeport-McMoRan, Inc. |
278,277 | $11,384,312 | ||||||
Linde PLC |
52,051 | 18,501,007 | ||||||
Sherwin-Williams Co. |
48,005 | 10,790,084 | ||||||
|
|
|||||||
40,675,403 | ||||||||
|
|
|||||||
Communications - 12.2% |
||||||||
Alphabet, Inc. Class C * |
216,346 | 22,499,984 | ||||||
Amazon.com, Inc. * |
548,226 | 56,626,263 | ||||||
Booking Holdings, Inc. * |
10,043 | 26,638,154 | ||||||
Meta Platforms, Inc. Class A * |
98,707 | 20,919,962 | ||||||
|
|
|||||||
126,684,363 | ||||||||
|
|
|||||||
Consumer, Cyclical - 9.7% |
||||||||
Caesars Entertainment, Inc. * |
216,740 | 10,579,079 | ||||||
Core & Main, Inc. Class A * |
1,231,121 | 28,438,895 | ||||||
LVMH Moet Hennessy Louis Vuitton SE (France) |
24,059 | 22,083,956 | ||||||
NIKE, Inc. Class B |
109,557 | 13,436,071 | ||||||
Rivian Automotive, Inc. Class A * |
192,099 | 2,973,693 | ||||||
TJX Cos., Inc. |
305,448 | 23,934,905 | ||||||
|
|
|||||||
101,446,599 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 15.6% |
||||||||
AbbVie, Inc. |
203,998 | 32,511,161 | ||||||
Apellis Pharmaceuticals, Inc. * |
122,123 | 8,055,233 | ||||||
Argenx SE ADR * (Netherlands) |
15,294 | 5,698,239 | ||||||
CoStar Group, Inc. * |
420,851 | 28,975,591 | ||||||
Danaher Corp. |
82,941 | 20,904,450 | ||||||
Horizon Therapeutics PLC * |
280,396 | 30,602,419 | ||||||
Illumina, Inc. * |
82,639 | 19,217,699 | ||||||
Teleflex, Inc. |
63,370 | 16,052,255 | ||||||
|
|
|||||||
162,017,047 | ||||||||
|
|
|||||||
Financial - 10.2% |
||||||||
American Tower Corp. REIT |
129,558 | 26,473,882 | ||||||
Charles Schwab Corp. |
176,313 | 9,235,275 | ||||||
Cullen/Frost Bankers, Inc. |
126,584 | 13,334,358 | ||||||
Mastercard, Inc. Class A |
85,190 | 30,958,898 | ||||||
Visa, Inc. Class A |
114,280 | 25,765,569 | ||||||
|
|
|||||||
105,767,982 | ||||||||
|
|
|||||||
Industrial - 8.8% |
||||||||
Crown Holdings, Inc. |
334,083 | 27,632,005 | ||||||
Deere & Co. |
82,547 | 34,082,005 | ||||||
Howmet Aerospace, Inc. |
709,003 | 30,040,457 | ||||||
|
|
|||||||
91,754,467 | ||||||||
|
|
|||||||
Technology - 37.6% |
||||||||
Advanced Micro Devices, Inc. * |
445,417 | 43,655,320 | ||||||
Apple, Inc. |
523,174 | 86,271,393 | ||||||
ASML Holding NV (Netherlands) |
44,584 | 30,348,775 | ||||||
Atlassian Corp. Class A * |
81,257 | 13,908,761 | ||||||
Microsoft Corp. |
424,658 | 122,428,901 | ||||||
NVIDIA Corp. |
127,159 | 35,320,955 | ||||||
Texas Instruments, Inc. |
137,367 | 25,551,636 | ||||||
Workday, Inc. Class A * |
165,111 | 34,102,026 | ||||||
|
|
|||||||
391,587,767 | ||||||||
|
|
|||||||
Total Common Stocks |
|
1,019,933,628 | ||||||
|
|
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 2.1% |
||||||||
U.S. Government Agency Issue - 2.1% |
|
|||||||
Federal Home Loan Mortgage Corp. |
$21,800,000 | $21,800,000 | ||||||
|
|
|||||||
Total U.S. Government Agency Issue |
|
21,800,000 | ||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.1% |
|
1,041,733,628 | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.1%) |
|
(1,001,418 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
|
$1,040,732,210 | ||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
92
PACIFIC SELECT FUND
FOCUSED GROWTH PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks | |||||||||||||||||
Basic Materials |
$40,675,403 | $40,675,403 | $- | $- | ||||||||||||||
Communications |
126,684,363 | 126,684,363 | - | - | ||||||||||||||
Consumer, Cyclical |
101,446,599 | 79,362,643 | 22,083,956 | - | ||||||||||||||
Consumer, Non-Cyclical |
162,017,047 | 162,017,047 | - | - | ||||||||||||||
Financial |
105,767,982 | 105,767,982 | - | - | ||||||||||||||
Industrial |
91,754,467 | 91,754,467 | - | - | ||||||||||||||
Technology |
391,587,767 | 391,587,767 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
1,019,933,628 | 997,849,672 | 22,083,956 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment | 21,800,000 | - | 21,800,000 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,041,733,628 | $997,849,672 | $43,883,956 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
93
PACIFIC SELECT FUND
GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.3% |
| |||||||
Basic Materials - 3.5% |
| |||||||
Air Products & Chemicals, Inc. |
60,747 | $17,447,146 | ||||||
Linde PLC |
48,157 | 17,116,924 | ||||||
Sherwin-Williams Co. |
58,973 | 13,255,361 | ||||||
|
|
|||||||
47,819,431 | ||||||||
|
|
|||||||
Communications - 11.5% |
||||||||
Alphabet, Inc. Class A * |
662,717 | 68,743,635 | ||||||
Alphabet, Inc. Class C * |
181,282 | 18,853,328 | ||||||
Amazon.com, Inc. * |
645,286 | 66,651,591 | ||||||
Match Group, Inc. * |
102,934 | 3,951,636 | ||||||
|
|
|||||||
158,200,190 | ||||||||
|
|
|||||||
Consumer, Cyclical - 4.6% |
||||||||
Chipotle Mexican Grill, Inc. * |
4,209 | 7,190,193 | ||||||
Dollar Tree, Inc. * |
37,408 | 5,369,918 | ||||||
Hilton Worldwide Holdings, Inc. |
115,581 | 16,281,895 | ||||||
Lululemon Athletica, Inc. * |
10,033 | 3,653,918 | ||||||
LVMH Moet Hennessy Louis Vuitton SE |
21,272 | 19,525,746 | ||||||
OReilly Automotive, Inc. * |
13,497 | 11,458,683 | ||||||
|
|
|||||||
63,480,353 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 20.0% |
||||||||
Abbott Laboratories |
139,962 | 14,172,552 | ||||||
Becton Dickinson & Co. |
43,813 | 10,845,470 | ||||||
Block, Inc. * |
56,666 | 3,890,121 | ||||||
Boston Scientific Corp. * |
558,261 | 27,929,798 | ||||||
Colgate-Palmolive Co. |
105,358 | 7,917,654 | ||||||
CoStar Group, Inc. * |
212,939 | 14,660,850 | ||||||
Danaher Corp. |
70,871 | 17,862,327 | ||||||
Equifax, Inc. |
43,126 | 8,747,678 | ||||||
Estee Lauder Cos., Inc. Class A |
80,903 | 19,939,353 | ||||||
Gartner, Inc. * |
31,339 | 10,209,306 | ||||||
ICON PLC * |
54,767 | 11,697,683 | ||||||
Regeneron Pharmaceuticals, Inc. * |
15,643 | 12,853,384 | ||||||
STERIS PLC |
32,642 | 6,243,762 | ||||||
Thermo Fisher Scientific, Inc. |
51,102 | 29,453,660 | ||||||
TransUnion |
51,453 | 3,197,289 | ||||||
UnitedHealth Group, Inc. |
40,435 | 19,109,177 | ||||||
Verisk Analytics, Inc. |
110,790 | 21,256,169 | ||||||
Vertex Pharmaceuticals, Inc. * |
72,240 | 22,760,657 | ||||||
Zoetis, Inc. |
81,568 | 13,576,178 | ||||||
|
|
|||||||
276,323,068 | ||||||||
|
|
|||||||
Energy - 1.4% |
||||||||
Enphase Energy, Inc. * |
10,540 | 2,216,351 | ||||||
EOG Resources, Inc. |
56,496 | 6,476,136 | ||||||
Hess Corp. |
77,179 | 10,213,869 | ||||||
|
|
|||||||
18,906,356 | ||||||||
|
|
|||||||
Financial - 11.8% |
||||||||
American Express Co. |
25,670 | 4,234,267 | ||||||
American Tower Corp. REIT |
75,785 | 15,485,907 | ||||||
Aon PLC Class A |
75,170 | 23,700,349 | ||||||
Arthur J Gallagher & Co. |
34,994 | 6,694,702 | ||||||
CME Group, Inc. |
57,866 | 11,082,496 | ||||||
Mastercard, Inc. Class A |
147,216 | 53,499,767 | ||||||
Visa, Inc. Class A |
214,794 | 48,427,455 | ||||||
|
|
|||||||
163,124,943 | ||||||||
|
|
|||||||
Industrial - 8.8% |
||||||||
Agilent Technologies, Inc. |
33,573 | 4,644,489 | ||||||
AMETEK, Inc. |
121,490 | 17,656,142 | ||||||
Amphenol Corp. Class A |
121,242 | 9,907,896 |
Shares |
Value |
|||||||
Canadian Pacific Railway Ltd. (NYSE) |
163,649 | $ | 12,591,154 | |||||
Caterpillar, Inc. |
19,134 | 4,378,625 | ||||||
Eaton Corp. PLC |
78,405 | 13,433,913 | ||||||
Howmet Aerospace, Inc. |
159,317 | 6,750,261 | ||||||
Johnson Controls International PLC |
252,910 | 15,230,240 | ||||||
Martin Marietta Materials, Inc. |
13,358 | 4,742,891 | ||||||
Rockwell Automation, Inc. |
34,591 | 10,150,729 | ||||||
Vulcan Materials Co. |
132,187 | 22,678,002 | ||||||
|
|
|||||||
122,164,342 | ||||||||
|
|
|||||||
Technology - 36.7% |
||||||||
Accenture PLC Class A |
14,191 | 4,055,930 | ||||||
Adobe, Inc. * |
62,278 | 24,000,073 | ||||||
Advanced Micro Devices, Inc. * |
107,024 | 10,489,422 | ||||||
Apple, Inc. |
447,987 | 73,873,056 | ||||||
Applied Materials, Inc. |
59,738 | 7,337,619 | ||||||
ASML Holding NV |
29,623 | 20,164,672 | ||||||
Autodesk, Inc. * |
18,381 | 3,826,189 | ||||||
Black Knight, Inc. * |
41,861 | 2,409,519 | ||||||
Cadence Design Systems, Inc. * |
78,052 | 16,397,945 | ||||||
Electronic Arts, Inc. |
90,035 | 10,844,716 | ||||||
Intuit, Inc. |
68,242 | 30,424,331 | ||||||
KLA Corp. |
14,096 | 5,626,700 | ||||||
Lam Research Corp. |
22,903 | 12,141,338 | ||||||
Microsoft Corp. |
574,390 | 165,596,637 | ||||||
MSCI, Inc. |
56,704 | 31,736,662 | ||||||
NVIDIA Corp. |
197,603 | 54,888,185 | ||||||
ServiceNow, Inc. * |
32,277 | 14,999,767 | ||||||
Synopsys, Inc. * |
24,663 | 9,526,084 | ||||||
Take-Two Interactive Software, Inc. * |
45,580 | 5,437,694 | ||||||
Veeva Systems, Inc. Class A * |
12,292 | 2,259,147 | ||||||
|
|
|||||||
506,035,686 | ||||||||
|
|
|||||||
Total Common Stocks |
1,356,054,369 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 1.8% |
||||||||
Repurchase Agreement - 1.8% |
||||||||
Fixed Income Clearing Corp. 4.450% due 04/03/23 (Dated 03/31/23, repurchase price of $24,713,419; collateralized by U.S. Treasury Notes: 2.875% due 06/15/25 and value $25,198,386) |
$24,704,258 | 24,704,258 | ||||||
|
|
|||||||
Total Short-Term Investment |
24,704,258 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.1% |
1,380,758,627 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.1%) |
|
(1,321,896 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$1,379,436,731 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
94
PACIFIC SELECT FUND
GROWTH PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
|||||||||||||||||
Basic Materials |
$47,819,431 | $47,819,431 | $- | $- | ||||||||||||||
Communications |
158,200,190 | 158,200,190 | - | - | ||||||||||||||
Consumer, Cyclical |
63,480,353 | 43,954,607 | 19,525,746 | - | ||||||||||||||
Consumer, Non-Cyclical |
276,323,068 | 276,323,068 | - | - | ||||||||||||||
Energy |
18,906,356 | 18,906,356 | - | - | ||||||||||||||
Financial |
163,124,943 | 163,124,943 | - | - | ||||||||||||||
Industrial |
122,164,342 | 122,164,342 | - | - | ||||||||||||||
Technology |
506,035,686 | 506,035,686 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
1,356,054,369 | 1,336,528,623 | 19,525,746 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment |
24,704,258 | 24,704,258 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,380,758,627 | $1,361,232,881 | $19,525,746 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
95
PACIFIC SELECT FUND
HEDGED EQUITY PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.6% |
| |||||||
Basic Materials - 2.5% |
| |||||||
Air Products & Chemicals, Inc. |
980 | $281,466 | ||||||
Celanese Corp. |
996 | 108,454 | ||||||
Dow, Inc. |
9,351 | 512,622 | ||||||
DuPont de Nemours, Inc. |
2,194 | 157,463 | ||||||
Eastman Chemical Co. |
5,190 | 437,725 | ||||||
Freeport-McMoRan, Inc. |
5,456 | 223,205 | ||||||
Linde PLC |
3,109 | 1,105,063 | ||||||
LyondellBasell Industries NV Class A |
2,592 | 243,363 | ||||||
Nucor Corp. |
1,678 | 259,201 | ||||||
PPG Industries, Inc. |
4,740 | 633,169 | ||||||
|
|
|||||||
3,961,731 | ||||||||
|
|
|||||||
Communications - 12.0% |
| |||||||
Alphabet, Inc. Class A * |
30,886 | 3,203,805 | ||||||
Alphabet, Inc. Class C * |
23,160 | 2,408,640 | ||||||
Amazon.com, Inc. * |
47,915 | 4,949,140 | ||||||
AT&T, Inc. |
2,365 | 45,526 | ||||||
Booking Holdings, Inc. * |
380 | 1,007,916 | ||||||
Charter Communications, Inc. Class A * |
2,417 | 864,343 | ||||||
Comcast Corp. Class A |
33,160 | 1,257,096 | ||||||
Corning, Inc. |
5,806 | 204,836 | ||||||
Expedia Group, Inc. * |
4,722 | 458,176 | ||||||
Meta Platforms, Inc. Class A * |
12,536 | 2,656,880 | ||||||
Motorola Solutions, Inc. |
1,312 | 375,403 | ||||||
Netflix, Inc. * |
2,778 | 959,743 | ||||||
T-Mobile US, Inc. * |
3,436 | 497,670 | ||||||
Uber Technologies, Inc. * |
5,133 | 162,716 | ||||||
|
|
|||||||
19,051,890 | ||||||||
|
|
|||||||
Consumer, Cyclical - 8.7% |
| |||||||
Aptiv PLC * |
1,994 | 223,707 | ||||||
AutoNation, Inc. * |
1,978 | 265,764 | ||||||
AutoZone, Inc. * |
329 | 808,731 | ||||||
Best Buy Co., Inc. |
6,666 | 521,748 | ||||||
Burlington Stores, Inc. * |
1,370 | 276,877 | ||||||
Chipotle Mexican Grill, Inc. * |
548 | 936,143 | ||||||
Costco Wholesale Corp. |
2,416 | 1,200,438 | ||||||
Dominos Pizza, Inc. |
588 | 193,964 | ||||||
Home Depot, Inc. |
2,557 | 754,622 | ||||||
Lennar Corp. Class A |
3,420 | 359,476 | ||||||
LKQ Corp. |
1,682 | 95,470 | ||||||
Lowes Cos., Inc. |
7,883 | 1,576,364 | ||||||
Magna International, Inc. (Canada) |
1,178 | 63,106 | ||||||
Marriott International, Inc. Class A |
2,997 | 497,622 | ||||||
McDonalds Corp. |
2,674 | 747,677 | ||||||
NIKE, Inc. Class B |
6,994 | 857,744 | ||||||
OReilly Automotive, Inc. * |
492 | 417,698 | ||||||
Royal Caribbean Cruises Ltd. * |
954 | 62,296 | ||||||
Southwest Airlines Co. |
4,175 | 135,855 | ||||||
Tesla, Inc. * |
11,742 | 2,435,995 | ||||||
TJX Cos., Inc. |
6,004 | 470,473 | ||||||
Toll Brothers, Inc. |
3,303 | 198,279 | ||||||
Whirlpool Corp. |
320 | 42,246 | ||||||
Yum! Brands, Inc. |
5,580 | 737,006 | ||||||
|
|
|||||||
13,879,301 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 20.2% |
| |||||||
Abbott Laboratories |
8,883 | 899,493 | ||||||
AbbVie, Inc. |
13,686 | 2,181,138 | ||||||
Altria Group, Inc. |
5,663 | 252,683 | ||||||
Avery Dennison Corp. |
636 | 113,799 | ||||||
Baxter International, Inc. |
9,823 | 398,421 | ||||||
Biogen, Inc. * |
1,869 | 519,638 | ||||||
BioMarin Pharmaceutical, Inc. * |
1,417 | 137,789 |
Shares |
Value |
|||||||
Booz Allen Hamilton Holding Corp. |
1,312 | $121,609 | ||||||
Boston Scientific Corp. * |
15,419 | 771,413 | ||||||
Bristol-Myers Squibb Co. |
21,478 | 1,488,640 | ||||||
Centene Corp. * |
7,168 | 453,089 | ||||||
Cintas Corp. |
619 | 286,399 | ||||||
Coca-Cola Co. |
31,272 | 1,939,802 | ||||||
Colgate-Palmolive Co. |
12,235 | 919,460 | ||||||
Constellation Brands, Inc. Class A |
2,276 | 514,126 | ||||||
CVS Health Corp. |
3,431 | 254,958 | ||||||
Danaher Corp. |
3,358 | 846,350 | ||||||
Dexcom, Inc. * |
1,792 | 208,195 | ||||||
Elevance Health, Inc. |
1,869 | 859,385 | ||||||
Eli Lilly & Co. |
4,180 | 1,435,496 | ||||||
FleetCor Technologies, Inc. * |
2,761 | 582,157 | ||||||
Humana, Inc. |
904 | 438,856 | ||||||
Intuitive Surgical, Inc. * |
2,833 | 723,747 | ||||||
Johnson & Johnson |
8,324 | 1,290,220 | ||||||
Kimberly-Clark Corp. |
3,385 | 454,335 | ||||||
McKesson Corp. |
934 | 332,551 | ||||||
Medtronic PLC |
6,715 | 541,363 | ||||||
Merck & Co., Inc. |
9,815 | 1,044,218 | ||||||
Mondelez International, Inc. Class A |
6,451 | 449,764 | ||||||
Monster Beverage Corp. * |
3,545 | 191,465 | ||||||
Neurocrine Biosciences, Inc. * |
1,311 | 132,699 | ||||||
PepsiCo, Inc. |
7,571 | 1,380,193 | ||||||
Pfizer, Inc. |
9,928 | 405,062 | ||||||
Philip Morris International, Inc. |
5,046 | 490,724 | ||||||
Procter & Gamble Co. |
8,457 | 1,257,471 | ||||||
Regeneron Pharmaceuticals, Inc. * |
1,254 | 1,030,374 | ||||||
ResMed, Inc. |
215 | 47,083 | ||||||
S&P Global, Inc. |
2,177 | 750,564 | ||||||
Sarepta Therapeutics, Inc. * |
1,438 | 198,200 | ||||||
Stryker Corp. |
1,172 | 334,571 | ||||||
Thermo Fisher Scientific, Inc. |
3,198 | 1,843,231 | ||||||
UnitedHealth Group, Inc. |
5,390 | 2,547,260 | ||||||
Vertex Pharmaceuticals, Inc. * |
3,021 | 951,826 | ||||||
|
|
|||||||
32,019,817 | ||||||||
|
|
|||||||
Energy - 4.5% |
| |||||||
Baker Hughes Co. |
8,084 | 233,304 | ||||||
Chevron Corp. |
4,082 | 666,019 | ||||||
ConocoPhillips |
12,613 | 1,251,336 | ||||||
Diamondback Energy, Inc. |
6,583 | 889,824 | ||||||
EOG Resources, Inc. |
9,608 | 1,101,365 | ||||||
Exxon Mobil Corp. |
23,987 | 2,630,415 | ||||||
Marathon Oil Corp. |
13,391 | 320,848 | ||||||
Phillips 66 |
1,072 | 108,679 | ||||||
|
|
|||||||
7,201,790 | ||||||||
|
|
|||||||
Financial - 14.6% |
| |||||||
American Express Co. |
3,802 | 627,140 | ||||||
Bank of America Corp. |
44,685 | 1,277,991 | ||||||
Berkshire Hathaway, Inc. Class B * |
7,166 | 2,212,646 | ||||||
Capital One Financial Corp. |
1,694 | 162,895 | ||||||
Charles Schwab Corp. |
3,188 | 166,987 | ||||||
Citigroup, Inc. |
11,335 | 531,498 | ||||||
CME Group, Inc. |
5,365 | 1,027,505 | ||||||
Equinix, Inc. REIT |
667 | 480,934 | ||||||
Equity LifeStyle Properties, Inc. REIT |
4,630 | 310,812 | ||||||
Fifth Third Bancorp |
12,369 | 329,510 | ||||||
Globe Life, Inc. |
2,844 | 312,897 | ||||||
Goldman Sachs Group, Inc. |
577 | 188,742 | ||||||
Host Hotels & Resorts, Inc. REIT |
3,988 | 65,762 | ||||||
Intercontinental Exchange, Inc. |
6,847 | 714,074 | ||||||
M&T Bank Corp. |
1,316 | 157,354 | ||||||
Mastercard, Inc. Class A |
6,805 | 2,473,005 | ||||||
MetLife, Inc. |
1,522 | 88,185 | ||||||
Morgan Stanley |
7,662 | 672,724 | ||||||
Progressive Corp. |
10,602 | 1,516,722 | ||||||
Prologis, Inc. REIT |
9,266 | 1,156,119 | ||||||
Prudential Financial, Inc. |
1,717 | 142,064 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
96
PACIFIC SELECT FUND
HEDGED EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Raymond James Financial, Inc. |
6,015 | $561,019 | ||||||
SBA Communications Corp. REIT |
2,557 | 667,556 | ||||||
State Street Corp. |
4,333 | 327,965 | ||||||
Sun Communities, Inc. REIT |
2,726 | 384,039 | ||||||
Travelers Cos., Inc. |
5,368 | 920,129 | ||||||
Truist Financial Corp. |
19,494 | 664,745 | ||||||
UDR, Inc. REIT |
9,078 | 372,743 | ||||||
US Bancorp |
27,703 | 998,693 | ||||||
Ventas, Inc. REIT |
11,406 | 494,450 | ||||||
Visa, Inc. Class A |
8,253 | 1,860,721 | ||||||
Wells Fargo & Co. |
36,440 | 1,362,127 | ||||||
|
|
|||||||
23,229,753 | ||||||||
|
|
|||||||
Industrial - 8.1% |
| |||||||
CSX Corp. |
9,937 | 297,514 | ||||||
Deere & Co. |
2,967 | 1,225,015 | ||||||
Dover Corp. |
2,431 | 369,366 | ||||||
Eaton Corp. PLC |
5,705 | 977,495 | ||||||
FedEx Corp. |
1,172 | 267,790 | ||||||
General Dynamics Corp. |
743 | 169,560 | ||||||
Honeywell International, Inc. |
9,349 | 1,786,781 | ||||||
Howmet Aerospace, Inc. |
2,045 | 86,646 | ||||||
Masco Corp. |
6,971 | 346,598 | ||||||
Norfolk Southern Corp. |
2,525 | 535,300 | ||||||
Otis Worldwide Corp. |
7,088 | 598,227 | ||||||
Parker-Hannifin Corp. |
2,446 | 822,125 | ||||||
Raytheon Technologies Corp. |
14,631 | 1,432,814 | ||||||
Textron, Inc. |
9,049 | 639,131 | ||||||
Trane Technologies PLC |
5,714 | 1,051,262 | ||||||
Union Pacific Corp. |
2,816 | 566,748 | ||||||
United Parcel Service, Inc. Class B |
8,317 | 1,613,415 | ||||||
|
|
|||||||
12,785,787 | ||||||||
|
|
|||||||
Technology - 25.1% |
| |||||||
Accenture PLC Class A |
4,841 | 1,383,606 | ||||||
Adobe, Inc. * |
3,683 | 1,419,318 | ||||||
Advanced Micro Devices, Inc. * |
12,904 | 1,264,721 | ||||||
Analog Devices, Inc. |
7,840 | 1,546,205 | ||||||
Apple, Inc. |
68,097 | 11,229,195 | ||||||
Broadcom, Inc. |
483 | 309,864 | ||||||
Cadence Design Systems, Inc. * |
1,259 | 264,503 | ||||||
Cognizant Technology Solutions Corp. Class A |
8,898 | 542,155 | ||||||
DocuSign, Inc. * |
1,208 | 70,427 | ||||||
Intuit, Inc. |
2,304 | 1,027,192 | ||||||
Lam Research Corp. |
2,450 | 1,298,794 | ||||||
Leidos Holdings, Inc. |
3,966 | 365,110 | ||||||
Microsoft Corp. |
35,768 | 10,311,915 | ||||||
NVIDIA Corp. |
9,613 | 2,670,203 | ||||||
NXP Semiconductors NV (China) |
7,310 | 1,363,132 | ||||||
Oracle Corp. |
6,966 | 647,281 | ||||||
Qorvo, Inc. * |
1,742 | 176,935 | ||||||
QUALCOMM, Inc. |
535 | 68,255 | ||||||
Salesforce, Inc. * |
2,323 | 464,089 | ||||||
Seagate Technology Holdings PLC |
8,650 | 571,938 | ||||||
Teradyne, Inc. |
3,861 | 415,096 | ||||||
Texas Instruments, Inc. |
10,183 | 1,894,140 | ||||||
Workday, Inc. Class A * |
2,219 | 458,312 | ||||||
|
|
|||||||
39,762,386 | ||||||||
|
|
|||||||
Utilities - 2.9% |
| |||||||
Ameren Corp. |
4,536 | 391,865 | ||||||
CenterPoint Energy, Inc. |
15,097 | 444,758 | ||||||
CMS Energy Corp. |
3,038 | 186,473 | ||||||
Dominion Energy, Inc. |
4,724 | 264,119 | ||||||
NextEra Energy, Inc. |
20,392 | 1,571,815 | ||||||
PG&E Corp. * |
36,826 | 595,476 | ||||||
Public Service Enterprise Group, Inc. |
9,223 | 575,976 |
Shares |
Value |
|||||||
Sempra Energy |
3,341 | $505,026 | ||||||
|
|
|||||||
4,535,508 | ||||||||
|
|
|||||||
Total Common Stocks |
156,427,963 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 1.2% |
| |||||||
Repurchase Agreement - 1.2% |
| |||||||
Fixed Income Clearing Corp. |
$1,940,750 | 1,940,750 | ||||||
|
|
|||||||
Total Short-Term Investment |
1,940,750 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.8% |
158,368,713 | |||||||
|
|
|||||||
DERIVATIVES - 0.0% |
10,324 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.2% |
350,732 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$158,729,769 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
97
PACIFIC SELECT FUND
HEDGED EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||
S&P 500 E-Mini Index |
06/23 | 10 | $2,035,659 | $2,068,875 | $33,216 | |||||||||||||
|
|
(b) | Purchased options outstanding as of March 31, 2023 were as follows: |
Options on Indices |
||||||||||||||||||||||||||||
Description | Exercise Price |
Expiration Date |
Exchange | Number of Contracts |
Notional Amount |
Cost | Value | |||||||||||||||||||||
Put S&P 500 Index |
$3,885.00 | 06/30/23 | CBOE | 388 | $150,738,000 | $2,716,388 | $2,716,000 | |||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||
Total Purchased Options |
$2,716,388 | $2,716,000 | ||||||||||||||||||||||||||
|
|
|
|
(c) | Premiums received and value of written options outstanding as of March 31, 2023 were as follows: |
Options on Indices |
||||||||||||||||||||||||||
Description | Exercise Price |
Expiration Date |
Exchange | Number of Contracts |
Notional Amount |
Premium | Value | |||||||||||||||||||
Call - S&P 500 Index |
$4,320.00 | 06/30/23 | CBOE | 388 | $167,616,000 | $2,244,804 | ($2,244,192 | ) | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
Put - S&P 500 Index |
3,280.00 | 06/30/23 | CBOE | 388 | 127,264,000 | 494,312 | (494,700 | ) | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
Total Written Options |
|
$2,739,116 | ($2,738,892 | ) | ||||||||||||||||||||||
|
|
|
|
(d) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$156,427,963 | $156,427,963 | $- | $- | |||||||||||||
Short-Term Investment |
1,940,750 | - | 1,940,750 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
33,216 | 33,216 | - | - | ||||||||||||||
Purchased Options |
2,716,000 | - | 2,716,000 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
161,117,929 | 156,461,179 | 4,656,750 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Derivatives |
|||||||||||||||||
Equity Contracts |
||||||||||||||||||
Written Options |
(2,738,892 | ) | - | (2,738,892 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(2,738,892 | ) | - | (2,738,892 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$158,379,037 | $156,461,179 | $1,917,858 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
98
PACIFIC SELECT FUND
LARGE-CAP CORE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 99.6% |
| |||||||
Basic Materials - 2.7% |
| |||||||
Eastman Chemical Co. |
132,958 | $11,213,678 | ||||||
PPG Industries, Inc. |
174,872 | 23,359,402 | ||||||
|
|
|||||||
34,573,080 | ||||||||
|
|
|||||||
Communications - 10.5% |
| |||||||
Alphabet, Inc. Class A * |
504,385 | 52,319,856 | ||||||
Amazon.com, Inc. * |
455,119 | 47,009,241 | ||||||
Meta Platforms, Inc. Class A * |
60,963 | 12,920,498 | ||||||
Uber Technologies, Inc. * |
345,541 | 10,953,650 | ||||||
Verizon Communications, Inc. |
301,094 | 11,709,546 | ||||||
|
|
|||||||
134,912,791 | ||||||||
|
|
|||||||
Consumer, Cyclical - 8.8% |
| |||||||
Dollar General Corp. |
51,298 | 10,796,177 | ||||||
Lowes Cos., Inc. |
150,782 | 30,151,877 | ||||||
McDonalds Corp. |
106,484 | 29,773,991 | ||||||
NIKE, Inc. Class B |
129,405 | 15,870,229 | ||||||
Tesla, Inc. * |
67,750 | 14,055,415 | ||||||
TJX Cos., Inc. |
150,409 | 11,786,049 | ||||||
|
|
|||||||
112,433,738 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 19.4% |
| |||||||
AbbVie, Inc. |
274,018 | 43,670,249 | ||||||
Biogen, Inc. * |
42,891 | 11,924,985 | ||||||
Boston Scientific Corp. * |
231,786 | 11,596,254 | ||||||
Bristol-Myers Squibb Co. |
463,204 | 32,104,669 | ||||||
Coca-Cola Co. |
553,586 | 34,338,939 | ||||||
Regeneron Pharmaceuticals, Inc. * |
35,998 | 29,578,477 | ||||||
S&P Global, Inc. |
74,588 | 25,715,705 | ||||||
UnitedHealth Group, Inc. |
90,638 | 42,834,612 | ||||||
Vertex Pharmaceuticals, Inc. * |
56,548 | 17,816,578 | ||||||
|
|
|||||||
249,580,468 | ||||||||
|
|
|||||||
Energy - 5.2% |
| |||||||
Baker Hughes Co. |
932,155 | 26,901,993 | ||||||
ConocoPhillips |
182,626 | 18,118,325 | ||||||
Pioneer Natural Resources Co. |
109,244 | 22,311,995 | ||||||
|
|
|||||||
67,332,313 | ||||||||
|
|
|||||||
Financial - 13.7% |
| |||||||
American Express Co. |
84,979 | 14,017,286 | ||||||
Ameriprise Financial, Inc. |
46,200 | 14,160,300 | ||||||
Mastercard, Inc. Class A |
83,816 | 30,459,573 | ||||||
Morgan Stanley |
335,255 | 29,435,389 | ||||||
Progressive Corp. |
110,935 | 15,870,361 | ||||||
Prologis, Inc. REIT |
256,690 | 32,027,211 | ||||||
Truist Financial Corp. |
236,011 | 8,047,975 | ||||||
US Bancorp |
215,293 | 7,761,313 | ||||||
Wells Fargo & Co. |
651,956 | 24,370,115 | ||||||
|
|
|||||||
176,149,523 | ||||||||
|
|
|||||||
Industrial - 9.8% |
| |||||||
Deere & Co. |
65,963 | 27,234,803 | ||||||
Eaton Corp. PLC |
153,896 | 26,368,541 | ||||||
Norfolk Southern Corp. |
90,511 | 19,188,332 | ||||||
Northrop Grumman Corp. |
52,315 | 24,154,882 | ||||||
Trane Technologies PLC |
93,058 | 17,120,811 | ||||||
Vulcan Materials Co. |
71,585 | 12,281,122 | ||||||
|
|
|||||||
126,348,491 | ||||||||
|
|
Shares |
Value |
|||||||
Technology - 24.7% |
|
|||||||
Advanced Micro Devices, Inc. * |
92,373 | $9,053,478 | ||||||
Apple, Inc. |
437,289 | 72,108,956 | ||||||
ASML Holding NV (Netherlands) |
6,689 | 4,553,269 | ||||||
Intuit, Inc. |
36,666 | 16,346,803 | ||||||
Leidos Holdings, Inc. |
67,390 | 6,203,923 | ||||||
Microsoft Corp. |
403,947 | 116,457,920 | ||||||
NVIDIA Corp. |
109,694 | 30,469,702 | ||||||
NXP Semiconductors NV (China) |
203,663 | 37,978,058 | ||||||
Oracle Corp. |
183,611 | 17,061,134 | ||||||
Teradyne, Inc. |
65,695 | 7,062,870 | ||||||
|
|
|||||||
317,296,113 | ||||||||
|
|
|||||||
Utilities - 4.8% |
| |||||||
NextEra Energy, Inc. |
540,292 | 41,645,708 | ||||||
PG&E Corp. * |
829,248 | 13,408,940 | ||||||
Xcel Energy, Inc. |
99,164 | 6,687,620 | ||||||
|
|
|||||||
61,742,268 | ||||||||
|
|
|||||||
Total Common Stocks |
1,280,368,785 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.2% |
||||||||
Repurchase Agreement - 0.2% |
||||||||
Fixed Income Clearing Corp. |
$2,643,047 | 2,643,047 | ||||||
|
|
|||||||
Total Short-Term Investment |
2,643,047 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.8% |
|
1,283,011,832 | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.2% |
|
3,067,424 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
|
$1,286,079,256 | ||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
99
PACIFIC SELECT FUND
LARGE-CAP CORE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$1,280,368,785 | $1,280,368,785 | $- | $- | |||||||||||||
Short-Term Investment |
2,643,047 | - | 2,643,047 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,283,011,832 | $1,280,368,785 | $2,643,047 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
100
PACIFIC SELECT FUND
LARGE-CAP GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
|
|
|||||||
COMMON STOCKS - 99.9% |
| |||||||
Basic Materials - 1.1% |
| |||||||
Sherwin-Williams Co. |
47,648 | $10,709,841 | ||||||
|
|
|||||||
Communications - 15.3% |
| |||||||
Alphabet, Inc. Class A * |
444,288 | 46,085,994 | ||||||
Amazon.com, Inc. * |
632,047 | 65,284,135 | ||||||
Match Group, Inc. * |
365,560 | 14,033,848 | ||||||
Netflix, Inc. * |
41,967 | 14,498,759 | ||||||
Palo Alto Networks, Inc. * |
24,852 | 4,963,939 | ||||||
|
|
|||||||
144,866,675 | ||||||||
|
|
|||||||
Consumer, Cyclical - 11.1% |
| |||||||
Chipotle Mexican Grill, Inc. * |
7,932 | 13,550,156 | ||||||
Evolution AB ~ (Sweden) |
147,536 | 19,766,630 | ||||||
LVMH Moet Hennessy Louis Vuitton SE (France) |
20,758 | 19,053,941 | ||||||
NIKE, Inc. Class B |
178,886 | 21,938,579 | ||||||
Ross Stores, Inc. |
45,851 | 4,866,167 | ||||||
Tesla, Inc. * |
124,201 | 25,766,739 | ||||||
|
|
|||||||
104,942,212 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 19.2% |
| |||||||
Adyen NV * ~ (Netherlands) |
4,070 | 6,485,251 | ||||||
AstraZeneca PLC ADR (United Kingdom) |
85,915 | 5,963,360 | ||||||
Boston Scientific Corp. * |
282,795 | 14,148,234 | ||||||
Cintas Corp. |
24,280 | 11,233,870 | ||||||
Danaher Corp. |
77,244 | 19,468,578 | ||||||
Eli Lilly & Co. |
16,402 | 5,632,775 | ||||||
IDEXX Laboratories, Inc. * |
28,934 | 14,469,315 | ||||||
Intuitive Surgical, Inc. * |
68,657 | 17,539,804 | ||||||
Lonza Group AG (Switzerland) |
18,577 | 11,183,343 | ||||||
S&P Global, Inc. |
55,067 | 18,985,449 | ||||||
Thermo Fisher Scientific, Inc. |
22,549 | 12,996,567 | ||||||
UnitedHealth Group, Inc. |
61,216 | 28,930,069 | ||||||
Zoetis, Inc. |
93,790 | 15,610,408 | ||||||
|
|
|||||||
182,647,023 | ||||||||
|
|
|||||||
Energy - 1.4% |
| |||||||
Cheniere Energy, Inc. |
73,801 | 11,631,038 | ||||||
EQT Corp. |
58,627 | 1,870,787 | ||||||
|
|
|||||||
13,501,825 | ||||||||
|
|
|||||||
Financial - 8.3% |
| |||||||
Blackstone, Inc. |
134,304 | 11,797,264 | ||||||
Mastercard, Inc. Class A |
65,013 | 23,626,374 | ||||||
Visa, Inc. Class A |
190,854 | 43,029,943 | ||||||
|
|
|||||||
78,453,581 | ||||||||
|
|
|||||||
Industrial - 3.5% |
| |||||||
TransDigm Group, Inc. |
31,670 | 23,342,374 | ||||||
Waste Connections, Inc. |
69,016 | 9,598,055 | ||||||
|
|
|||||||
32,940,429 | ||||||||
|
|
|||||||
Technology - 40.0% |
| |||||||
Advanced Micro Devices, Inc. * |
226,465 | 22,195,835 | ||||||
Apple, Inc. |
499,577 | 82,380,247 | ||||||
ASML Holding NV (Netherlands) |
47,943 | 32,635,279 | ||||||
BILL Holdings, Inc. * |
37,873 | 3,073,015 | ||||||
Cadence Design Systems, Inc. * |
95,296 | 20,020,737 | ||||||
Intuit, Inc. |
89,546 | 39,922,293 | ||||||
KLA Corp. |
46,538 | 18,576,573 | ||||||
Microsoft Corp. |
285,056 | 82,181,645 | ||||||
MongoDB, Inc. * |
8,214 | 1,914,848 | ||||||
MSCI, Inc. |
27,922 | 15,627,664 |
|
|
|||||||
NVIDIA Corp. |
149,553 | $ 41,541,337 | ||||||
ServiceNow, Inc. * |
41,129 | 19,113,469 | ||||||
|
|
|||||||
379,182,942 | ||||||||
|
|
|||||||
Total Common Stocks |
947,244,528 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.2% |
| |||||||
Repurchase Agreement - 0.2% |
| |||||||
Fixed Income Clearing Corp. |
$1,534,985 | 1,534,985 | ||||||
|
|
|||||||
Total Short-Term Investment |
1,534,985 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.1% |
948,779,513 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.1%) |
|
(1,030,735 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$947,748,778 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
101
PACIFIC SELECT FUND
LARGE-CAP GROWTH PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
|||||||||||||||||
Basic Materials |
$10,709,841 | $10,709,841 | $- | $- | ||||||||||||||
Communications |
144,866,675 | 144,866,675 | - | - | ||||||||||||||
Consumer, Cyclical |
104,942,212 | 66,121,641 | 38,820,571 | - | ||||||||||||||
Consumer, Non-Cyclical |
182,647,023 | 164,978,429 | 17,668,594 | - | ||||||||||||||
Energy |
13,501,825 | 13,501,825 | - | - | ||||||||||||||
Financial |
78,453,581 | 78,453,581 | - | - | ||||||||||||||
Industrial |
32,940,429 | 32,940,429 | - | - | ||||||||||||||
Technology |
379,182,942 | 379,182,942 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
947,244,528 | 890,755,363 | 56,489,165 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment |
1,534,985 | - | 1,534,985 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$948,779,513 | $890,755,363 | $58,024,150 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
102
PACIFIC SELECT FUND
LARGE-CAP VALUE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 97.6% |
| |||||||
Basic Materials - 3.8% |
| |||||||
Air Products & Chemicals, Inc. |
91,316 | $26,226,868 | ||||||
PPG Industries, Inc. |
139,795 | 18,673,816 | ||||||
|
|
|||||||
44,900,684 | ||||||||
|
|
|||||||
Communications - 13.6% |
| |||||||
Alphabet, Inc. Class A * |
126,187 | 13,089,378 | ||||||
Charter Communications, Inc. Class A * |
62,737 | 22,435,379 | ||||||
Cisco Systems, Inc. |
578,132 | 30,221,850 | ||||||
Comcast Corp. Class A |
490,577 | 18,597,774 | ||||||
DISH Network Corp. Class A * |
815,304 | 7,606,786 | ||||||
Meta Platforms, Inc. Class A * |
154,644 | 32,775,249 | ||||||
Motorola Solutions, Inc. |
121,795 | 34,849,203 | ||||||
|
|
|||||||
159,575,619 | ||||||||
|
|
|||||||
Consumer, Cyclical - 1.6% |
| |||||||
Home Depot, Inc. |
63,998 | 18,887,090 | ||||||
|
|
|||||||
Consumer, Non-Cyclical - 15.6% |
| |||||||
Amgen, Inc. |
58,637 | 14,175,495 | ||||||
Becton Dickinson & Co. |
94,191 | 23,316,040 | ||||||
Elevance Health, Inc. |
61,319 | 28,195,089 | ||||||
Haleon PLC ADR |
2,324,454 | 18,921,056 | ||||||
Johnson & Johnson |
133,654 | 20,716,370 | ||||||
McKesson Corp. |
32,643 | 11,622,540 | ||||||
Merck & Co., Inc. |
135,573 | 14,423,612 | ||||||
PepsiCo, Inc. |
103,610 | 18,888,103 | ||||||
UnitedHealth Group, Inc. |
68,416 | 32,332,717 | ||||||
|
|
|||||||
182,591,022 | ||||||||
|
|
|||||||
Energy - 9.8% |
| |||||||
Chevron Corp. |
199,716 | 32,585,663 | ||||||
ConocoPhillips |
502,687 | 49,871,577 | ||||||
Enterprise Products Partners LP |
1,240,668 | 32,133,301 | ||||||
|
|
|||||||
114,590,541 | ||||||||
|
|
|||||||
Financial - 23.1% |
| |||||||
American Express Co. |
222,123 | 36,639,189 | ||||||
American Tower Corp. REIT |
89,977 | 18,385,900 | ||||||
Bank of America Corp. |
1,304,521 | 37,309,301 | ||||||
Bank of New York Mellon Corp. |
311,245 | 14,142,973 | ||||||
Berkshire Hathaway, Inc. Class B * |
65,510 | 20,227,523 | ||||||
Charles Schwab Corp. |
184,706 | 9,674,900 | ||||||
JPMorgan Chase & Co. |
331,617 | 43,213,011 | ||||||
Marsh & McLennan Cos., Inc. |
110,951 | 18,478,889 | ||||||
Progressive Corp. |
147,348 | 21,079,605 | ||||||
Travelers Cos., Inc. |
95,385 | 16,349,943 | ||||||
US Bancorp |
391,888 | 14,127,562 | ||||||
Visa, Inc. Class A |
90,459 | 20,394,886 | ||||||
|
|
|||||||
270,023,682 | ||||||||
|
|
|||||||
Industrial - 18.8% |
| |||||||
Deere & Co. |
86,407 | 35,675,722 | ||||||
Illinois Tool Works, Inc. |
80,162 | 19,515,439 | ||||||
Martin Marietta Materials, Inc. |
41,332 | 14,675,340 | ||||||
Northrop Grumman Corp. |
48,662 | 22,468,219 | ||||||
Otis Worldwide Corp. |
174,415 | 14,720,626 | ||||||
Raytheon Technologies Corp. |
379,049 | 37,120,269 | ||||||
TE Connectivity Ltd. |
268,286 | 35,185,709 | ||||||
United Parcel Service, Inc. Class B |
124,844 | 24,218,487 | ||||||
Vertiv Holdings Co. |
1,183,907 | 16,941,709 | ||||||
|
|
|||||||
220,521,520 | ||||||||
|
|
Shares |
Value |
|||||||
Technology - 5.1% |
|
|||||||
Intel Corp. |
641,038 | $ 20,942,711 | ||||||
Microsoft Corp. |
44,190 | 12,739,977 | ||||||
Oracle Corp. |
172,400 | 16,019,408 | ||||||
QUALCOMM, Inc. |
73,686 | 9,400,860 | ||||||
|
|
|||||||
59,102,956 | ||||||||
|
|
|||||||
Utilities - 6.2% |
| |||||||
Edison International |
317,599 | 22,419,314 | ||||||
Sempra Energy |
330,026 | 49,886,730 | ||||||
|
|
|||||||
72,306,044 | ||||||||
|
|
|||||||
Total Common Stocks |
1,142,499,158 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 1.8% |
| |||||||
Repurchase Agreement - 1.8% |
| |||||||
Fixed Income Clearing Corp. |
$20,631,038 | 20,631,038 | ||||||
|
|
|||||||
Total Short-Term Investment |
20,631,038 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.4% |
1,163,130,196 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.6% |
7,132,492 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$1,170,262,688 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
103
PACIFIC SELECT FUND
LARGE-CAP VALUE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant |
Level 3 Significant |
|||||||||||||||
Assets |
Common Stocks |
$1,142,499,158 | $1,142,499,158 | $- | $- | |||||||||||||
Short-Term Investment |
20,631,038 | - | 20,631,038 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,163,130,196 | $1,142,499,158 | $20,631,038 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
104
PACIFIC SELECT FUND
MID-CAP EQUITY PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 99.5% |
| |||||||
Basic Materials - 5.8% |
| |||||||
Agnico Eagle Mines Ltd. (Canada) |
42,294 | $2,155,725 | ||||||
Alamos Gold, Inc. Class A (Canada) |
151,257 | 1,849,873 | ||||||
Albemarle Corp. |
23,850 | 5,271,804 | ||||||
Alcoa Corp. |
59,217 | 2,520,276 | ||||||
CF Industries Holdings, Inc. |
35,605 | 2,581,007 | ||||||
Freeport-McMoRan, Inc. |
120,629 | 4,934,932 | ||||||
Hecla Mining Co. |
309,512 | 1,959,211 | ||||||
Huntsman Corp. |
43,088 | 1,178,888 | ||||||
Mosaic Co. |
105,214 | 4,827,218 | ||||||
Nucor Corp. |
35,637 | 5,504,847 | ||||||
Westlake Corp. |
20,842 | 2,417,255 | ||||||
|
|
|||||||
35,201,036 | ||||||||
|
|
|||||||
Communications - 2.8% |
| |||||||
Arista Networks, Inc. * |
24,907 | 4,180,889 | ||||||
Fox Corp. Class A |
195,746 | 6,665,151 | ||||||
Spotify Technology SA * |
3,912 | 522,722 | ||||||
World Wrestling Entertainment, Inc. Class A |
34,763 | 3,172,471 | ||||||
Zillow Group, Inc. Class A * |
59,037 | 2,579,917 | ||||||
|
|
|||||||
17,121,150 | ||||||||
|
|
|||||||
Consumer, Cyclical - 15.5% |
| |||||||
Best Buy Co., Inc. |
7,266 | 568,710 | ||||||
Brunswick Corp. |
17,792 | 1,458,944 | ||||||
Caseys General Stores, Inc. |
31,068 | 6,724,979 | ||||||
Chipotle Mexican Grill, Inc. * |
3,322 | 5,674,939 | ||||||
Copart, Inc. * |
27,004 | 2,030,971 | ||||||
Darden Restaurants, Inc. |
17,132 | 2,658,201 | ||||||
Delta Air Lines, Inc. * |
102,496 | 3,579,160 | ||||||
Dollar General Corp. |
2,575 | 541,934 | ||||||
DR Horton, Inc. |
26,750 | 2,613,207 | ||||||
Floor & Decor Holdings, Inc. Class A * |
35,659 | 3,502,427 | ||||||
Las Vegas Sands Corp. * |
125,406 | 7,204,575 | ||||||
Live Nation Entertainment, Inc. * |
45,614 | 3,192,980 | ||||||
Lululemon Athletica, Inc. * |
19,389 | 7,061,280 | ||||||
Murphy USA, Inc. |
18,518 | 4,778,570 | ||||||
NVR, Inc. * |
862 | 4,803,228 | ||||||
OReilly Automotive, Inc. * |
6,412 | 5,443,660 | ||||||
Polaris, Inc. |
17,183 | 1,900,955 | ||||||
Ross Stores, Inc. |
20,551 | 2,181,078 | ||||||
Southwest Airlines Co. |
55,469 | 1,804,961 | ||||||
Texas Roadhouse, Inc. |
45,818 | 4,951,093 | ||||||
Thor Industries, Inc. |
6,790 | 540,756 | ||||||
Tractor Supply Co. |
17,079 | 4,014,248 | ||||||
Ulta Beauty, Inc. * |
16,108 | 8,789,652 | ||||||
Vail Resorts, Inc. |
18,539 | 4,332,194 | ||||||
WW Grainger, Inc. |
3,217 | 2,215,902 | ||||||
YETI Holdings, Inc. * |
31,662 | 1,266,480 | ||||||
|
|
|||||||
93,835,084 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 20.3% |
| |||||||
Albertsons Cos., Inc. Class A |
232,308 | 4,827,360 | ||||||
Align Technology, Inc. * |
22,463 | 7,505,787 | ||||||
AmerisourceBergen Corp. |
27,794 | 4,450,097 | ||||||
BioMarin Pharmaceutical, Inc. * |
80,043 | 7,783,381 | ||||||
Booz Allen Hamilton Holding Corp. |
4,475 | 414,788 | ||||||
Corteva, Inc. |
82,035 | 4,947,531 | ||||||
CoStar Group, Inc. * |
33,225 | 2,287,541 | ||||||
Darling Ingredients, Inc. * |
107,586 | 6,283,022 | ||||||
Edwards Lifesciences Corp. * |
103,411 | 8,555,192 | ||||||
Exelixis, Inc. * |
75,072 | 1,457,148 | ||||||
FTI Consulting, Inc. * |
5,138 | 1,013,984 | ||||||
Gartner, Inc. * |
18,078 | 5,889,270 | ||||||
Henry Schein, Inc. * |
51,528 | 4,201,593 |
Shares |
Value |
|||||||
Hershey Co. |
23,697 | $ 6,028,754 | ||||||
Hormel Foods Corp. |
7,565 | 301,692 | ||||||
Insulet Corp. * |
25,208 | 8,040,344 | ||||||
Kroger Co. |
5,763 | 284,519 | ||||||
Molina Healthcare, Inc. * |
4,202 | 1,123,993 | ||||||
Monster Beverage Corp. * |
103,614 | 5,596,192 | ||||||
Morningstar, Inc. |
11,434 | 2,321,445 | ||||||
Neurocrine Biosciences, Inc. * |
17,460 | 1,767,301 | ||||||
Omnicell, Inc. * |
58,803 | 3,449,972 | ||||||
Quanta Services, Inc. |
96,446 | 16,071,762 | ||||||
Ritchie Bros Auctioneers, Inc. (Canada) |
43,657 | 2,457,453 | ||||||
Service Corp. International |
39,085 | 2,688,266 | ||||||
Tyson Foods, Inc. Class A |
87,359 | 5,182,136 | ||||||
U-Haul Holding Co. |
72,187 | 3,742,896 | ||||||
United Rentals, Inc. |
4,130 | 1,634,489 | ||||||
Vertex Pharmaceuticals, Inc. * |
7,907 | 2,491,259 | ||||||
|
|
|||||||
122,799,167 | ||||||||
|
|
|||||||
Energy - 6.3% |
| |||||||
Baker Hughes Co. |
207,862 | 5,998,897 | ||||||
ChampionX Corp. |
31,328 | 849,929 | ||||||
Cheniere Energy, Inc. |
28,579 | 4,504,051 | ||||||
Enphase Energy, Inc. * |
14,583 | 3,066,513 | ||||||
Hess Corp. |
64,751 | 8,569,147 | ||||||
Noble Corp. PLC * |
149,046 | 5,882,846 | ||||||
Pioneer Natural Resources Co. |
31,839 | 6,502,797 | ||||||
Valero Energy Corp. |
18,903 | 2,638,859 | ||||||
|
|
|||||||
38,013,039 | ||||||||
|
|
|||||||
Financial - 15.9% |
| |||||||
Agree Realty Corp. REIT |
96,134 | 6,595,754 | ||||||
Arch Capital Group Ltd. * |
41,756 | 2,833,980 | ||||||
Axis Capital Holdings Ltd. |
93,306 | 5,087,043 | ||||||
Brown & Brown, Inc. |
85,591 | 4,914,635 | ||||||
Cboe Global Markets, Inc. |
83,726 | 11,239,378 | ||||||
Citizens Financial Group, Inc. |
85,461 | 2,595,451 | ||||||
Commerce Bancshares, Inc. |
65,136 | 3,800,686 | ||||||
Discover Financial Services |
60,863 | 6,015,699 | ||||||
EastGroup Properties, Inc. REIT |
31,303 | 5,175,012 | ||||||
Evercore, Inc. Class A |
32,122 | 3,706,236 | ||||||
Everest Re Group Ltd. |
14,372 | 5,145,463 | ||||||
First American Financial Corp. |
33,222 | 1,849,137 | ||||||
Healthcare Realty Trust, Inc. REIT |
373,001 | 7,210,109 | ||||||
Host Hotels & Resorts, Inc. REIT |
333,287 | 5,495,903 | ||||||
Kinsale Capital Group, Inc. |
8,098 | 2,430,615 | ||||||
Mid-America Apartment Communities, Inc. REIT |
35,711 | 5,393,789 | ||||||
STAG Industrial, Inc. REIT |
312,465 | 10,567,566 | ||||||
White Mountains Insurance Group Ltd. |
4,196 | 5,779,948 | ||||||
|
|
|||||||
95,836,404 | ||||||||
|
|
|||||||
Industrial - 14.3% |
| |||||||
AGCO Corp. |
52,660 | 7,119,632 | ||||||
Agilent Technologies, Inc. |
67,127 | 9,286,349 | ||||||
Builders FirstSource, Inc. * |
6,884 | 611,162 | ||||||
BWX Technologies, Inc. |
34,073 | 2,147,962 | ||||||
Carrier Global Corp. |
125,247 | 5,730,050 | ||||||
Chart Industries, Inc. * |
48,709 | 6,108,109 | ||||||
Eagle Materials, Inc. |
31,378 | 4,604,722 | ||||||
Flex Ltd. * |
278,919 | 6,417,926 | ||||||
Garmin Ltd. |
8,057 | 813,112 | ||||||
Generac Holdings, Inc. * |
44,242 | 4,778,578 | ||||||
Hubbell, Inc. |
29,472 | 7,170,832 | ||||||
Huntington Ingalls Industries, Inc. |
11,665 | 2,414,888 | ||||||
Keysight Technologies, Inc. * |
40,626 | 6,560,287 | ||||||
Knight-Swift Transportation Holdings, Inc. |
32,747 | 1,852,825 | ||||||
L3Harris Technologies, Inc. |
7,170 | 1,407,041 | ||||||
Martin Marietta Materials, Inc. |
7,214 | 2,561,403 | ||||||
Owens Corning |
29,281 | 2,805,120 | ||||||
Textron, Inc. |
73,231 | 5,172,306 | ||||||
Timken Co. |
48,352 | 3,951,325 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
105
PACIFIC SELECT FUND
MID-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
vUniversal Display Corp. |
10,931 | $ 1,695,726 | ||||||
Vulcan Materials Co. |
17,304 | 2,968,674 | ||||||
|
|
|||||||
86,178,029 | ||||||||
|
|
|||||||
Technology - 13.0% |
| |||||||
DocuSign, Inc. * |
47,280 | 2,756,424 | ||||||
DXC Technology Co. * |
146,678 | 3,749,090 | ||||||
Jack Henry & Associates, Inc. |
29,680 | 4,473,370 | ||||||
KLA Corp. |
8,601 | 3,433,261 | ||||||
Microchip Technology, Inc. |
22,331 | 1,870,891 | ||||||
Monolithic Power Systems, Inc. |
7,317 | 3,662,451 | ||||||
ON Semiconductor Corp. * |
55,027 | 4,529,823 | ||||||
Paycom Software, Inc. * |
1,978 | 601,332 | ||||||
Pure Storage, Inc. Class A * |
223,765 | 5,708,245 | ||||||
Skyworks Solutions, Inc. |
66,776 | 7,878,232 | ||||||
Splunk, Inc. * |
104,862 | 10,054,169 | ||||||
Take-Two Interactive Software, Inc. * |
28,322 | 3,378,815 | ||||||
Teradata Corp. * |
265,415 | 10,690,916 | ||||||
Teradyne, Inc. |
57,810 | 6,215,153 | ||||||
Veeva Systems, Inc. Class A * |
2,255 | 414,446 | ||||||
Workday, Inc. Class A * |
29,191 | 6,029,109 | ||||||
Zebra Technologies Corp. Class A * |
10,116 | 3,216,888 | ||||||
|
|
|||||||
78,662,615 | ||||||||
|
|
|||||||
Utilities - 5.6% |
| |||||||
CenterPoint Energy, Inc. |
469,650 | 13,835,889 | ||||||
Evergy, Inc. |
109,676 | 6,703,397 | ||||||
WEC Energy Group, Inc. |
136,703 | 12,958,077 | ||||||
|
|
|||||||
33,497,363 | ||||||||
|
|
|||||||
Total Common Stocks |
601,143,887 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.9% |
| |||||||
Repurchase Agreement - 0.9% |
| |||||||
Fixed Income Clearing Corp. |
$5,732,675 | 5,732,675 | ||||||
|
|
|||||||
Total Short-Term Investment |
5,732,675 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.4% |
606,876,562 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.4%) |
|
(2,491,863 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$604,384,699 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
106
PACIFIC SELECT FUND
MID-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$601,143,887 | $601,143,887 | $- | $- | |||||||||||||
Short-Term Investment |
5,732,675 | - | 5,732,675 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$606,876,562 | $601,143,887 | $5,732,675 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
107
PACIFIC SELECT FUND
MID-CAP GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 99.8% |
| |||||||
Communications - 8.3% |
| |||||||
Arista Networks, Inc. * |
98,285 | $16,498,120 | ||||||
Pinterest, Inc. Class A * |
836,888 | 22,821,936 | ||||||
Shutterstock, Inc. |
145,205 | 10,541,883 | ||||||
Trade Desk, Inc. Class A * |
264,810 | 16,129,577 | ||||||
|
|
|||||||
65,991,516 | ||||||||
|
|
|||||||
Consumer, Cyclical - 17.3% |
| |||||||
BorgWarner, Inc. |
417,652 | 20,510,890 | ||||||
Copart, Inc. * |
151,232 | 11,374,159 | ||||||
Fastenal Co. |
233,989 | 12,621,367 | ||||||
Floor & Decor Holdings, Inc. Class A * |
128,931 | 12,663,603 | ||||||
Foot Locker, Inc. |
222,510 | 8,831,422 | ||||||
Levi Strauss & Co. Class A |
546,685 | 9,966,067 | ||||||
Lululemon Athletica, Inc. * |
35,348 | 12,873,388 | ||||||
National Vision Holdings, Inc. * |
286,025 | 5,388,711 | ||||||
On Holding AG Class A * (Switzerland) |
408,917 | 12,688,694 | ||||||
Petco Health & Wellness Co., Inc. * |
519,731 | 4,677,579 | ||||||
Pool Corp. |
40,507 | 13,871,217 | ||||||
Vail Resorts, Inc. |
55,860 | 13,053,365 | ||||||
|
|
|||||||
138,520,462 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 27.6% |
| |||||||
Bio-Techne Corp. |
159,560 | 11,837,756 | ||||||
Brown-Forman Corp. Class B |
157,591 | 10,128,374 | ||||||
Clarivate PLC * |
623,310 | 5,852,881 | ||||||
Cooper Cos., Inc. |
11,261 | 4,204,407 | ||||||
CoStar Group, Inc. * |
462,890 | 31,869,976 | ||||||
Dexcom, Inc. * |
240,526 | 27,944,311 | ||||||
Edwards Lifesciences Corp. * |
128,688 | 10,646,358 | ||||||
Envista Holdings Corp. * |
376,206 | 15,379,301 | ||||||
Genmab AS ADR * (Denmark) |
328,452 | 12,402,348 | ||||||
Intuitive Surgical, Inc. * |
56,244 | 14,368,655 | ||||||
MarketAxess Holdings, Inc. |
82,922 | 32,446,549 | ||||||
Repligen Corp. * |
88,325 | 14,870,397 | ||||||
Seagen, Inc. * |
58,527 | 11,849,962 | ||||||
West Pharmaceutical Services, Inc. |
35,435 | 12,277,164 | ||||||
WillScot Mobile Mini Holdings Corp. * |
88,284 | 4,138,754 | ||||||
|
|
|||||||
220,217,193 | ||||||||
|
|
|||||||
Financial - 1.1% |
| |||||||
Kinsale Capital Group, Inc. |
29,821 | 8,950,773 | ||||||
|
|
|||||||
Industrial - 21.4% |
| |||||||
Agilent Technologies, Inc. |
82,490 | 11,411,667 | ||||||
AO Smith Corp. |
178,434 | 12,338,711 | ||||||
Coherent Corp. * |
327,496 | 12,471,048 | ||||||
Generac Holdings, Inc. * |
89,237 | 9,638,488 | ||||||
HEICO Corp. Class A |
131,988 | 17,937,169 | ||||||
Howmet Aerospace, Inc. |
132,992 | 5,634,871 | ||||||
IDEX Corp. |
47,330 | 10,934,650 | ||||||
Keysight Technologies, Inc. * |
85,502 | 13,806,863 | ||||||
Lincoln Electric Holdings, Inc. |
51,464 | 8,702,562 | ||||||
Littelfuse, Inc. |
37,809 | 10,136,215 | ||||||
Martin Marietta Materials, Inc. |
22,377 | 7,945,178 | ||||||
Novanta, Inc. * |
67,473 | 10,734,280 | ||||||
Trex Co., Inc. * |
265,206 | 12,907,576 | ||||||
Trimble, Inc. * |
227,551 | 11,928,223 | ||||||
Universal Display Corp. |
93,814 | 14,553,366 | ||||||
|
|
|||||||
171,080,867 | ||||||||
|
|
|||||||
Technology - 24.1% |
| |||||||
Crowdstrike Holdings, Inc. Class A * |
94,016 | 12,904,636 |
Shares |
Value |
|||||||
DocuSign, Inc. * |
213,826 | $ 12,466,056 | ||||||
DoubleVerify Holdings, Inc. * |
92,035 | 2,774,855 | ||||||
EngageSmart, Inc. * |
202,874 | 3,905,325 | ||||||
HubSpot, Inc. * |
19,700 | 8,446,375 | ||||||
Marvell Technology, Inc. |
358,424 | 15,519,759 | ||||||
Microchip Technology, Inc. |
240,676 | 20,163,835 | ||||||
Monolithic Power Systems, Inc. |
52,846 | 26,451,537 | ||||||
Paycom Software, Inc. * |
51,885 | 15,773,559 | ||||||
Teradyne, Inc. |
186,012 | 19,998,150 | ||||||
Tyler Technologies, Inc. * |
46,177 | 16,376,211 | ||||||
Workday, Inc. Class A * |
51,718 | 10,681,836 | ||||||
Workiva, Inc. * |
112,823 | 11,554,204 | ||||||
Zebra Technologies Corp. Class A * |
23,848 | 7,583,664 | ||||||
ZoomInfo Technologies, Inc. * |
330,502 | 8,166,704 | ||||||
|
|
|||||||
192,766,706 | ||||||||
|
|
|||||||
Total Common Stocks |
797,527,517 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.3% |
| |||||||
Repurchase Agreement - 0.3% |
| |||||||
Fixed Income Clearing Corp. |
$2,733,013 | 2,733,013 | ||||||
|
|
|||||||
Total Short-Term Investment |
2,733,013 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.1% |
800,260,530 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.1%) |
(469,155 | ) | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$799,791,375 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
108
PACIFIC SELECT FUND
MID-CAP GROWTH PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$797,527,517 | $797,527,517 | $- | $- | |||||||||||||
Short-Term Investment |
2,733,013 | - | 2,733,013 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$800,260,530 | $797,527,517 | $2,733,013 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
109
PACIFIC SELECT FUND
MID-CAP VALUE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 97.7% |
| |||||||
Basic Materials - 4.3% |
| |||||||
Axalta Coating Systems Ltd. * |
152,404 | $4,616,317 | ||||||
DuPont de Nemours, Inc. |
98,154 | 7,044,512 | ||||||
FMC Corp. |
41,561 | 5,075,845 | ||||||
PPG Industries, Inc. |
48,750 | 6,512,025 | ||||||
Valvoline, Inc. |
111,504 | 3,895,950 | ||||||
|
|
|||||||
27,144,649 | ||||||||
|
|
|||||||
Communications - 2.6% |
| |||||||
eBay, Inc. |
66,211 | 2,937,782 | ||||||
Expedia Group, Inc. * |
42,171 | 4,091,852 | ||||||
Gen Digital, Inc. |
137,737 | 2,363,567 | ||||||
Interpublic Group of Cos., Inc. |
77,772 | 2,896,229 | ||||||
Nexstar Media Group, Inc. |
11,565 | 1,996,813 | ||||||
TEGNA, Inc. |
117,038 | 1,979,113 | ||||||
|
|
|||||||
16,265,356 | ||||||||
|
|
|||||||
Consumer, Cyclical - 14.8% |
| |||||||
Alaska Air Group, Inc. * |
81,982 | 3,439,965 | ||||||
AutoZone, Inc. * |
4,680 | 11,504,142 | ||||||
Boyd Gaming Corp. |
25,910 | 1,661,349 | ||||||
Copart, Inc. * |
66,452 | 4,997,855 | ||||||
Darden Restaurants, Inc. |
24,158 | 3,748,355 | ||||||
Dominos Pizza, Inc. |
5,508 | 1,816,924 | ||||||
Ferguson PLC |
34,633 | 4,632,164 | ||||||
Gentex Corp. |
132,142 | 3,703,940 | ||||||
Harley-Davidson, Inc. |
128,412 | 4,875,804 | ||||||
International Game Technology PLC |
93,667 | 2,510,276 | ||||||
Las Vegas Sands Corp. * |
70,267 | 4,036,839 | ||||||
Lear Corp. |
14,038 | 1,958,161 | ||||||
Live Nation Entertainment, Inc. * |
21,892 | 1,532,440 | ||||||
LKQ Corp. |
84,629 | 4,803,542 | ||||||
Marriott International, Inc. Class A |
33,169 | 5,507,381 | ||||||
NVR, Inc. * |
644 | 3,588,490 | ||||||
Polaris, Inc. |
48,662 | 5,383,477 | ||||||
Resideo Technologies, Inc. * |
132,908 | 2,429,558 | ||||||
Ross Stores, Inc. |
59,024 | 6,264,217 | ||||||
Tempur Sealy International, Inc. |
143,060 | 5,649,439 | ||||||
Whirlpool Corp. |
28,436 | 3,754,121 | ||||||
Wyndham Hotels & Resorts, Inc. |
65,133 | 4,419,274 | ||||||
|
|
|||||||
92,217,713 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 14.9% |
| |||||||
AmerisourceBergen Corp. |
57,153 | 9,150,767 | ||||||
ASGN, Inc. * |
23,340 | 1,929,518 | ||||||
Avantor, Inc. * |
91,681 | 1,938,136 | ||||||
Avery Dennison Corp. |
16,281 | 2,913,159 | ||||||
Centene Corp. * |
25,353 | 1,602,563 | ||||||
Cigna Group |
6,397 | 1,634,625 | ||||||
Coca-Cola Europacific Partners PLC (United Kingdom) |
62,049 | 3,672,680 | ||||||
Corteva, Inc. |
124,769 | 7,524,818 | ||||||
Envista Holdings Corp. * |
58,659 | 2,397,980 | ||||||
FleetCor Technologies, Inc. * |
12,791 | 2,696,982 | ||||||
Global Payments, Inc. |
23,155 | 2,436,832 | ||||||
H&R Block, Inc. |
81,814 | 2,883,944 | ||||||
HCA Healthcare, Inc. |
28,689 | 7,564,716 | ||||||
Humana, Inc. |
11,120 | 5,398,315 | ||||||
ICON PLC (Ireland) * |
39,005 | 8,331,078 | ||||||
IQVIA Holdings, Inc. * |
10,749 | 2,137,869 | ||||||
Keurig Dr Pepper, Inc. |
107,636 | 3,797,398 | ||||||
Laboratory Corp. of America Holdings |
13,032 | 2,989,802 | ||||||
Molina Healthcare, Inc. * |
523 | 139,897 | ||||||
Ritchie Bros Auctioneers, Inc. (Canada) |
80,374 | 4,524,253 | ||||||
Robert Half International, Inc. |
25,534 | 2,057,274 |
Shares |
Value |
|||||||
TransUnion |
53,151 | $ 3,302,803 | ||||||
US Foods Holding Corp. * |
176,525 | 6,520,834 | ||||||
Zimmer Biomet Holdings, Inc. |
42,667 | 5,512,576 | ||||||
|
|
|||||||
93,058,819 | ||||||||
|
|
|||||||
Energy - 5.4% |
| |||||||
Devon Energy Corp. |
71,568 | 3,622,056 | ||||||
Diamondback Energy, Inc. |
24,462 | 3,306,529 | ||||||
Halliburton Co. |
240,617 | 7,613,122 | ||||||
Marathon Petroleum Corp. |
37,230 | 5,019,721 | ||||||
Pioneer Natural Resources Co. |
18,013 | 3,678,975 | ||||||
Schlumberger NV |
117,605 | 5,774,405 | ||||||
Valero Energy Corp. |
32,236 | 4,500,146 | ||||||
|
|
|||||||
33,514,954 | ||||||||
|
|
|||||||
Financial - 20.0% |
| |||||||
Aflac, Inc. |
52,691 | 3,399,623 | ||||||
Allstate Corp. |
14,477 | 1,604,196 | ||||||
American Homes 4 Rent Class A REIT |
85,990 | 2,704,386 | ||||||
Ameriprise Financial, Inc. |
42,909 | 13,151,609 | ||||||
Aon PLC Class A |
19,392 | 6,114,104 | ||||||
Arch Capital Group Ltd. * |
49,030 | 3,327,666 | ||||||
Ares Management Corp. Class A |
45,713 | 3,814,293 | ||||||
Arthur J Gallagher & Co. |
24,512 | 4,689,391 | ||||||
Discover Financial Services |
69,779 | 6,896,956 | ||||||
East West Bancorp, Inc. |
93,818 | 5,206,899 | ||||||
Equity LifeStyle Properties, Inc. REIT |
38,615 | 2,592,225 | ||||||
Equity Residential REIT |
62,929 | 3,775,740 | ||||||
Essex Property Trust, Inc. REIT |
19,251 | 4,026,154 | ||||||
Everest Re Group Ltd. |
19,800 | 7,088,796 | ||||||
Fifth Third Bancorp |
190,491 | 5,074,680 | ||||||
First American Financial Corp. |
31,193 | 1,736,202 | ||||||
Globe Life, Inc. |
42,964 | 4,726,899 | ||||||
Healthpeak Properties, Inc. REIT |
115,183 | 2,530,571 | ||||||
Huntington Bancshares, Inc. |
479,018 | 5,365,002 | ||||||
Kilroy Realty Corp. REIT |
40,785 | 1,321,434 | ||||||
Lamar Advertising Co. Class A REIT |
52,010 | 5,195,279 | ||||||
Prologis, Inc. REIT |
33,612 | 4,193,769 | ||||||
Regency Centers Corp. REIT |
96,341 | 5,894,142 | ||||||
RenaissanceRe Holdings Ltd. (Bermuda) |
13,316 | 2,667,727 | ||||||
Simon Property Group, Inc. REIT |
48,808 | 5,465,032 | ||||||
SLM Corp. |
80,358 | 995,636 | ||||||
Travelers Cos., Inc. |
10,893 | 1,867,169 | ||||||
VICI Properties, Inc. REIT |
90,027 | 2,936,681 | ||||||
Voya Financial, Inc. |
23,320 | 1,666,447 | ||||||
Welltower, Inc. REIT |
69,491 | 4,981,810 | ||||||
|
|
|||||||
125,010,518 | ||||||||
|
|
|||||||
Industrial - 21.3% |
| |||||||
Advanced Drainage Systems, Inc. |
19,907 | 1,676,368 | ||||||
Allegion PLC |
56,151 | 5,992,996 | ||||||
AMETEK, Inc. |
75,314 | 10,945,384 | ||||||
Builders FirstSource, Inc. * |
26,451 | 2,348,320 | ||||||
BWX Technologies, Inc. |
71,010 | 4,476,470 | ||||||
Curtiss-Wright Corp. |
27,835 | 4,906,197 | ||||||
Dover Corp. |
70,889 | 10,770,875 | ||||||
Eaton Corp. PLC |
42,038 | 7,202,791 | ||||||
Expeditors International of Washington, Inc. |
49,465 | 5,447,086 | ||||||
Flex Ltd. * |
108,987 | 2,507,791 | ||||||
Fortive Corp. |
49,936 | 3,404,137 | ||||||
Frontdoor, Inc. * |
109,597 | 3,055,564 | ||||||
Garmin Ltd. |
44,716 | 4,512,739 | ||||||
Hexcel Corp. |
68,201 | 4,654,718 | ||||||
Howmet Aerospace, Inc. |
198,034 | 8,390,701 | ||||||
ITT, Inc. |
25,866 | 2,232,236 | ||||||
L3Harris Technologies, Inc. |
9,395 | 1,843,675 | ||||||
Landstar System, Inc. |
27,164 | 4,869,419 | ||||||
Masco Corp. |
112,682 | 5,602,549 | ||||||
Mohawk Industries, Inc. * |
18,580 | 1,862,088 | ||||||
Norfolk Southern Corp. |
24,332 | 5,158,384 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
110
PACIFIC SELECT FUND
MID-CAP VALUE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
nVent Electric PLC |
76,559 | $ 3,287,443 | ||||||
Otis Worldwide Corp. |
62,127 | 5,243,519 | ||||||
Parker-Hannifin Corp. |
27,163 | 9,129,756 | ||||||
TE Connectivity Ltd. |
41,842 | 5,487,578 | ||||||
Textron, Inc. |
113,021 | 7,982,673 | ||||||
|
|
|||||||
132,991,457 | ||||||||
|
|
|||||||
Technology - 9.2% |
| |||||||
Check Point Software Technologies Ltd. * (Israel) |
45,501 | 5,915,130 | ||||||
Cognizant Technology Solutions Corp. Class A |
64,951 | 3,957,464 | ||||||
Fair Isaac Corp. * |
6,362 | 4,470,514 | ||||||
Fidelity National Information Services, Inc. |
35,609 | 1,934,637 | ||||||
KLA Corp. |
4,707 | 1,878,893 | ||||||
Leidos Holdings, Inc. |
38,136 | 3,510,800 | ||||||
Microchip Technology, Inc. |
85,056 | 7,125,992 | ||||||
NetApp, Inc. |
52,620 | 3,359,787 | ||||||
NXP Semiconductors NV (China) |
21,324 | 3,976,393 | ||||||
Qorvo, Inc. * |
45,970 | 4,669,173 | ||||||
Science Applications International Corp. |
38,257 | 4,111,097 | ||||||
SS&C Technologies Holdings, Inc. |
88,280 | 4,985,172 | ||||||
Take-Two Interactive Software, Inc. * |
26,431 | 3,153,218 | ||||||
Teradyne, Inc. |
19,791 | 2,127,730 | ||||||
Western Digital Corp. * |
67,661 | 2,548,790 | ||||||
|
|
|||||||
57,724,790 | ||||||||
|
|
|||||||
Utilities - 5.2% |
| |||||||
American Electric Power Co., Inc. |
65,283 | 5,940,100 | ||||||
CenterPoint Energy, Inc. |
375,248 | 11,054,806 | ||||||
DTE Energy Co. |
36,376 | 3,984,627 | ||||||
Entergy Corp. |
65,683 | 7,076,687 | ||||||
FirstEnergy Corp. |
105,571 | 4,229,174 | ||||||
|
|
|||||||
32,285,394 | ||||||||
|
|
|||||||
Total Common Stocks |
610,213,650 | |||||||
|
|
|||||||
Principal Amount |
||||||||
SHORT-TERM INVESTMENT - 2.3% |
| |||||||
Repurchase Agreement - 2.3% |
| |||||||
State Street Bank & Trust Co. |
$14,485,729 | 14,485,729 | ||||||
|
|
|||||||
Total Short-Term Investment |
14,485,729 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
624,699,379 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.0% |
|
184,971 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$624,884,350 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
111
PACIFIC SELECT FUND
MID-CAP VALUE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$610,213,650 | $610,213,650 | $- | $- | |||||||||||||
Short-Term Investment |
14,485,729 | - | 14,485,729 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$624,699,379 | $610,213,650 | $14,485,729 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
112
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
RIGHTS - 0.0% |
| |||||||
Basic Materials - 0.0% |
| |||||||
PolyMet Mining Corp. * |
4,030 | $11 | ||||||
|
|
|||||||
Consumer, Non-Cyclical - 0.0% |
| |||||||
Contra Aduro Biotechnologies, Inc. - Contingent Value Rights * W ± |
154 | 391 | ||||||
OmniAb, Inc. |
660 | - | ||||||
OmniAb, Inc. |
660 | - | ||||||
|
|
|||||||
391 | ||||||||
|
|
|||||||
Total Rights |
402 | |||||||
|
|
|||||||
COMMON STOCKS - 97.8% |
| |||||||
Basic Materials - 6.3% |
| |||||||
AdvanSix, Inc. |
1,925 | 73,670 | ||||||
Alcoa Corp. |
35,376 | 1,505,603 | ||||||
American Vanguard Corp. |
304 | 6,651 | ||||||
Amyris, Inc. * |
18,832 | 25,611 | ||||||
Arconic Corp. * |
104,642 | 2,744,760 | ||||||
Ashland, Inc. |
6,485 | 666,074 | ||||||
Avient Corp. |
29,547 | 1,216,154 | ||||||
AZZ, Inc. |
2,737 | 112,874 | ||||||
Carpenter Technology Corp. |
5,314 | 237,855 | ||||||
Coeur Mining, Inc. * |
31,112 | 124,137 | ||||||
Commercial Metals Co. |
25,210 | 1,232,769 | ||||||
Constellium SE * |
6,447 | 98,510 | ||||||
Danimer Scientific, Inc. * |
9,896 | 34,141 | ||||||
Ecovyst, Inc. * |
9,358 | 103,406 | ||||||
Elementis PLC * (United Kingdom) |
1,497,351 | 2,199,933 | ||||||
Energy Fuels, Inc. * |
2,916 | 16,271 | ||||||
Glatfelter Corp. |
5,475 | 17,465 | ||||||
Hawkins, Inc. |
819 | 35,856 | ||||||
Haynes International, Inc. |
1,353 | 67,772 | ||||||
HB Fuller Co. |
858 | 58,730 | ||||||
Hecla Mining Co. |
61,247 | 387,693 | ||||||
Hycroft Mining Holding Corp. * |
2,983 | 1,290 | ||||||
Innospec, Inc. |
411 | 42,197 | ||||||
Intrepid Potash, Inc. * |
1,216 | 33,562 | ||||||
Ivanhoe Electric, Inc. * |
2,606 | 31,663 | ||||||
Koppers Holdings, Inc. |
2,109 | 73,752 | ||||||
Mativ Holdings, Inc. |
5,627 | 120,812 | ||||||
Minerals Technologies, Inc. |
30,410 | 1,837,372 | ||||||
Novagold Resources, Inc. * (Canada) |
1,509 | 9,386 | ||||||
Origin Materials, Inc. * |
4,440 | 18,959 | ||||||
Perimeter Solutions SA * |
13,016 | 105,169 | ||||||
Piedmont Lithium, Inc. * |
1,369 | 82,208 | ||||||
PolyMet Mining Corp. * (Canada) |
2,417 | 5,197 | ||||||
Quaker Chemical Corp. |
503 | 99,569 | ||||||
Rayonier Advanced Materials, Inc. * |
6,744 | 42,285 | ||||||
Schnitzer Steel Industries, Inc. Class A |
2,554 | 79,429 | ||||||
Sensient Technologies Corp. |
241 | 18,451 | ||||||
Stepan Co. |
2,137 | 220,175 | ||||||
Sylvamo Corp. |
261 | 12,074 | ||||||
Terawulf, Inc. * |
6,937 | 6,506 | ||||||
Trinseo PLC |
3,820 | 79,647 | ||||||
Tronox Holdings PLC |
139,679 | 2,008,584 | ||||||
Unifi, Inc. * |
1,812 | 14,804 | ||||||
Ur-Energy, Inc. * |
2,111 | 2,238 | ||||||
US Lime & Minerals, Inc. |
41 | 6,260 |
Shares |
Value |
|||||||
Valhi, Inc. |
283 | $ 4,927 | ||||||
|
|
|||||||
15,922,451 | ||||||||
|
|
|||||||
Communications - 1.7% |
| |||||||
1-800-Flowers.com, Inc. Class A * |
2,836 | 32,614 | ||||||
1stdibs.com, Inc. * |
2,867 | 11,382 | ||||||
A10 Networks, Inc. |
1,436 | 22,244 | ||||||
ADTRAN Holdings, Inc. |
906 | 14,369 | ||||||
Advantage Solutions, Inc. * |
8,655 | 13,675 | ||||||
aka Brands Holding Corp. * |
563 | 307 | ||||||
Allbirds, Inc. Class A * |
8,752 | 10,502 | ||||||
AMC Networks, Inc. Class A * |
3,304 | 58,084 | ||||||
Anterix, Inc. * |
1,439 | 47,545 | ||||||
Arena Group Holdings, Inc. * |
363 | 1,543 | ||||||
ATN International, Inc. |
1,194 | 48,858 | ||||||
Audacy, Inc. * |
14,650 | 1,973 | ||||||
Aviat Networks, Inc. * |
1,084 | 37,355 | ||||||
BARK, Inc. * |
11,828 | 17,151 | ||||||
Blade Air Mobility, Inc. * |
6,179 | 20,885 | ||||||
Boston Omaha Corp. Class A * |
2,257 | 53,423 | ||||||
Bumble, Inc. Class A * |
11,081 | 216,634 | ||||||
Calix, Inc. * |
1,337 | 71,650 | ||||||
Cars.com, Inc. * |
6,351 | 122,574 | ||||||
Clear Channel Outdoor Holdings, Inc. * |
40,276 | 48,331 | ||||||
Cogent Communications Holdings, Inc. |
2,173 | 138,464 | ||||||
Consolidated Communications Holdings, Inc. * |
7,279 | 18,780 | ||||||
ContextLogic, Inc. Class A * |
63,189 | 28,170 | ||||||
Cumulus Media, Inc. Class A * |
2,262 | 8,347 | ||||||
DHI Group, Inc. * |
741 | 2,875 | ||||||
DigitalBridge Group, Inc. |
2,038 | 24,436 | ||||||
EchoStar Corp. Class A * |
3,671 | 67,143 | ||||||
Edgio, Inc. * |
1,237 | 979 | ||||||
Entravision Communications Corp. Class A |
1,762 | 10,660 | ||||||
ePlus, Inc. * |
666 | 32,661 | ||||||
Eventbrite, Inc. Class A * |
1,262 | 10,828 | ||||||
EW Scripps Co. Class A * |
6,387 | 60,102 | ||||||
Figs, Inc. Class A * |
1,881 | 11,643 | ||||||
fuboTV, Inc. * |
20,530 | 24,841 | ||||||
Gannett Co., Inc. * |
15,301 | 28,613 | ||||||
Globalstar, Inc. * |
10,593 | 12,288 | ||||||
Gogo, Inc. * |
4,981 | 72,224 | ||||||
Gray Television, Inc. |
5,029 | 43,853 | ||||||
Groupon, Inc. * |
1,890 | 7,957 | ||||||
HealthStream, Inc. * |
2,484 | 67,316 | ||||||
Hims & Hers Health, Inc. * |
2,274 | 22,558 | ||||||
IDT Corp. Class B * |
446 | 15,200 | ||||||
iHeartMedia, Inc. Class A * |
13,165 | 51,343 | ||||||
Innovid Corp. * (Israel) |
1,495 | 2,108 | ||||||
Inseego Corp. * |
8,828 | 5,141 | ||||||
Inspirato, Inc. * |
2,399 | 2,300 | ||||||
InterDigital, Inc. |
2,063 | 150,393 | ||||||
KORE Group Holdings, Inc. * |
4,943 | 6,030 | ||||||
Lands End, Inc. * |
1,781 | 17,311 | ||||||
Liberty Latin America Ltd. Class A * |
4,953 | 41,159 | ||||||
Liberty Latin America Ltd. Class C * |
15,502 | 128,046 | ||||||
Liquidity Services, Inc. * |
1,313 | 17,292 | ||||||
Magnite, Inc. * |
14,669 | 135,835 | ||||||
Maxar Technologies, Inc. |
8,107 | 413,943 | ||||||
NETGEAR, Inc. * |
3,093 | 57,251 | ||||||
Overstock.com, Inc. * |
4,651 | 94,276 | ||||||
Planet Labs PBC * |
2,589 | 10,175 | ||||||
Preformed Line Products Co. |
260 | 33,290 | ||||||
QuinStreet, Inc. * |
5,199 | 82,508 | ||||||
Quotient Technology, Inc. * |
8,756 | 28,720 | ||||||
RealReal, Inc. * |
9,173 | 11,558 | ||||||
Ribbon Communications, Inc. * |
7,896 | 27,004 | ||||||
Rover Group, Inc. * |
485 | 2,197 | ||||||
RumbleON, Inc. Class B * |
1,323 | 8,017 | ||||||
Scholastic Corp. |
3,266 | 111,762 | ||||||
Shenandoah Telecommunications Co. |
5,395 | 102,613 | ||||||
Solo Brands, Inc. Class A * |
2,683 | 19,264 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
113
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Squarespace, Inc. Class A * |
2,534 | $ 80,505 | ||||||
Stagwell, Inc. * |
7,599 | 56,385 | ||||||
Stitch Fix, Inc. Class A * |
5,500 | 28,105 | ||||||
TEGNA, Inc. |
24,645 | 416,747 | ||||||
Telephone & Data Systems, Inc. |
11,202 | 117,733 | ||||||
Terran Orbital Corp. * |
4,989 | 9,180 | ||||||
Thryv Holdings, Inc. * |
2,087 | 48,126 | ||||||
TrueCar, Inc. * |
9,540 | 21,942 | ||||||
Urban One, Inc. * |
1,770 | 11,293 | ||||||
US Cellular Corp. * |
1,605 | 33,272 | ||||||
Vacasa, Inc. Class A * |
10,964 | 10,550 | ||||||
Value Line, Inc. |
32 | 1,547 | ||||||
Vivid Seats, Inc. Class A * |
2,293 | 17,496 | ||||||
WideOpenWest, Inc. * |
2,693 | 28,627 | ||||||
Ziff Davis, Inc. * |
4,105 | 320,395 | ||||||
|
|
|||||||
4,322,476 | ||||||||
|
|
|||||||
Consumer, Cyclical - 12.7% |
| |||||||
A-Mark Precious Metals, Inc. |
2,127 | 73,701 | ||||||
Abercrombie & Fitch Co. Class A * |
5,384 | 149,406 | ||||||
Academy Sports & Outdoors, Inc. |
8,362 | 545,621 | ||||||
Acushnet Holdings Corp. |
2,614 | 133,157 | ||||||
Adient PLC * |
58,266 | 2,386,575 | ||||||
Aeva Technologies, Inc. * |
9,871 | 11,747 | ||||||
Allegiant Travel Co. * |
966 | 88,853 | ||||||
Americas Car-Mart, Inc. * |
643 | 50,932 | ||||||
American Axle & Manufacturing Holdings, Inc. * |
11,677 | 91,197 | ||||||
American Eagle Outfitters, Inc. |
17,090 | 229,690 | ||||||
Asbury Automotive Group, Inc. * |
1,733 | 363,930 | ||||||
Aterian, Inc. * |
7,090 | 6,098 | ||||||
Ballys Corp. * |
3,916 | 76,440 | ||||||
Beacon Roofing Supply, Inc. * |
1,693 | 99,633 | ||||||
Beazer Homes USA, Inc. * |
3,243 | 51,499 | ||||||
Bed Bath & Beyond, Inc. * |
2,879 | 1,230 | ||||||
Big 5 Sporting Goods Corp. |
2,154 | 16,564 | ||||||
Big Lots, Inc. |
3,099 | 33,965 | ||||||
Biglari Holdings, Inc. Class B * |
72 | 12,182 | ||||||
BJs Restaurants, Inc. * |
2,476 | 72,151 | ||||||
Bloomin Brands, Inc. |
2,595 | 66,562 | ||||||
Bluegreen Vacations Holding Corp. |
909 | 24,888 | ||||||
BlueLinx Holdings, Inc. * |
957 | 65,038 | ||||||
Bowlero Corp. * |
3,225 | 54,664 | ||||||
Boyd Gaming Corp. |
10,512 | 674,029 | ||||||
Brinker International, Inc. * |
74,877 | 2,845,326 | ||||||
Brunswick Corp. |
16,485 | 1,351,770 | ||||||
Buckle, Inc. |
196 | 6,995 | ||||||
Build-A-Bear Workshop, Inc. |
454 | 10,551 | ||||||
Capri Holdings Ltd. * |
14,460 | 679,620 | ||||||
Carters, Inc. |
21,661 | 1,557,859 | ||||||
Cato Corp. Class A |
1,950 | 17,238 | ||||||
Cenntro Electric Group Ltd. * (Australia) |
23,452 | 10,830 | ||||||
Century Casinos, Inc. * |
307 | 2,250 | ||||||
Century Communities, Inc. |
7,346 | 469,556 | ||||||
Cepton, Inc. * |
1,086 | 504 | ||||||
Chicos FAS, Inc. * |
3,731 | 20,521 | ||||||
Childrens Place, Inc. * |
27,127 | 1,091,862 | ||||||
Chuys Holdings, Inc. * |
2,004 | 71,843 | ||||||
Cinemark Holdings, Inc. * |
2,523 | 37,315 | ||||||
Citi Trends, Inc. * |
839 | 15,958 | ||||||
Clean Energy Fuels Corp. * |
18,513 | 80,717 | ||||||
CompX International, Inc. |
141 | 2,549 | ||||||
Conns, Inc. * |
1,263 | 7,654 | ||||||
Container Store Group, Inc. * |
3,931 | 13,483 | ||||||
Dalata Hotel Group PLC * (Ireland) |
159,576 | 723,552 | ||||||
Dana, Inc. |
14,319 | 215,501 | ||||||
Dennys Corp. * |
31,874 | 355,714 | ||||||
Designer Brands, Inc. Class A |
1,380 | 12,061 | ||||||
Destination XL Group, Inc. * |
2,871 | 15,819 | ||||||
Dine Brands Global, Inc. |
199 | 13,460 | ||||||
Dr. Martens PLC (United Kingdom) |
208,936 | 366,380 | ||||||
Duluth Holdings, Inc. Class B * |
730 | 4,657 |
Shares |
Value |
|||||||
El Pollo Loco Holdings, Inc. |
2,124 | $ 20,369 | ||||||
Ermenegildo Zegna NV (Italy) |
5,063 | 69,059 | ||||||
Ethan Allen Interiors, Inc. |
2,471 | 67,854 | ||||||
Everi Holdings, Inc. * |
4,316 | 74,019 | ||||||
EVgo, Inc. * |
6,310 | 49,155 | ||||||
Express, Inc. * |
8,280 | 6,527 | ||||||
First Watch Restaurant Group, Inc. * |
1,169 | 18,774 | ||||||
FirstCash Holdings, Inc. |
2,077 | 198,084 | ||||||
Foot Locker, Inc. |
8,890 | 352,844 | ||||||
Forestar Group, Inc. * |
1,635 | 25,441 | ||||||
Fossil Group, Inc. * |
4,888 | 15,642 | ||||||
Franchise Group, Inc. |
206 | 5,614 | ||||||
Full House Resorts, Inc. * |
2,461 | 17,793 | ||||||
G-III Apparel Group Ltd. * |
4,818 | 74,920 | ||||||
Genesco, Inc. * |
1,322 | 48,755 | ||||||
Global Industrial Co. |
410 | 11,004 | ||||||
Goodyear Tire & Rubber Co. * |
30,942 | 340,981 | ||||||
Green Brick Partners, Inc. * |
2,169 | 76,045 | ||||||
Group 1 Automotive, Inc. |
2,352 | 532,540 | ||||||
GrowGeneration Corp. * |
6,269 | 21,440 | ||||||
Haverty Furniture Cos., Inc. |
1,590 | 50,737 | ||||||
Hawaiian Holdings, Inc. * |
5,530 | 50,655 | ||||||
Hibbett, Inc. |
270 | 15,925 | ||||||
Hilton Grand Vacations, Inc. * |
31,214 | 1,386,838 | ||||||
Hyliion Holdings Corp. * |
14,999 | 29,698 | ||||||
IMAX Corp. * |
2,195 | 42,100 | ||||||
Interface, Inc. |
969 | 7,868 | ||||||
International Game Technology PLC |
8,435 | 226,058 | ||||||
iRobot Corp. * |
324 | 14,139 | ||||||
Jack in the Box, Inc. |
21,177 | 1,854,893 | ||||||
JOANN, Inc. |
1,395 | 2,218 | ||||||
Johnson Outdoors, Inc. Class A |
569 | 35,853 | ||||||
KAR Auction Services, Inc. * |
12,008 | 164,269 | ||||||
KB Home |
6,866 | 275,876 | ||||||
Kimball International, Inc. Class B |
3,907 | 48,447 | ||||||
La-Z-Boy, Inc. |
4,751 | 138,159 | ||||||
Landsea Homes Corp. * |
1,129 | 6,842 | ||||||
LCI Industries |
6,010 | 660,319 | ||||||
LGI Homes, Inc. * |
2,112 | 240,831 | ||||||
Life Time Group Holdings, Inc. * |
4,591 | 73,272 | ||||||
Lifetime Brands, Inc. |
1,637 | 9,626 | ||||||
Light & Wonder, Inc. * |
10,423 | 625,901 | ||||||
Lindblad Expeditions Holdings, Inc. * |
3,385 | 32,361 | ||||||
Lions Gate Entertainment Corp. Class A * |
6,367 | 70,483 | ||||||
Lions Gate Entertainment Corp. Class B * |
12,611 | 130,902 | ||||||
LL Flooring Holdings, Inc. * |
2,817 | 10,705 | ||||||
Lordstown Motors Corp. Class A * |
16,981 | 11,260 | ||||||
M/I Homes, Inc. * |
9,720 | 613,235 | ||||||
Madison Square Garden Entertainment Corp. * |
2,900 | 171,303 | ||||||
Marcus Corp. |
2,598 | 41,568 | ||||||
MarineMax, Inc. * |
2,159 | 62,071 | ||||||
MDC Holdings, Inc. |
4,761 | 185,060 | ||||||
Meritage Homes Corp. |
5,573 | 650,704 | ||||||
Methode Electronics, Inc. |
3,937 | 172,756 | ||||||
Microvast Holdings, Inc. * |
9,052 | 11,224 | ||||||
Miller Industries, Inc. |
1,141 | 40,334 | ||||||
MillerKnoll, Inc. |
8,435 | 172,496 | ||||||
Motorcar Parts of America, Inc. * |
1,952 | 14,523 | ||||||
Movado Group, Inc. |
1,653 | 47,557 | ||||||
National Vision Holdings, Inc. * |
8,154 | 153,621 | ||||||
Nikola Corp. * |
2,856 | 3,456 | ||||||
Nu Skin Enterprises, Inc. Class A |
3,264 | 128,308 | ||||||
ODP Corp. * |
4,437 | 199,576 | ||||||
OneWater Marine, Inc. Class A * |
1,143 | 31,970 | ||||||
Oxford Industries, Inc. |
503 | 53,112 | ||||||
Papa Johns International, Inc. |
997 | 74,705 | ||||||
Patrick Industries, Inc. |
2,150 | 147,942 | ||||||
PC Connection, Inc. |
1,229 | 55,256 | ||||||
PetMed Express, Inc. |
385 | 6,252 | ||||||
PLBY Group, Inc. * |
5,176 | 10,248 | ||||||
PriceSmart, Inc. |
1,064 | 76,055 | ||||||
Proterra, Inc. * |
13,234 | 20,116 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
114
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Purple Innovation, Inc. * |
6,548 | $ 17,287 | ||||||
Qurate Retail, Inc. Series A * |
38,237 | 37,771 | ||||||
RCI Hospitality Holdings, Inc. |
47 | 3,674 | ||||||
Red Rock Resorts, Inc. Class A |
3,103 | 138,301 | ||||||
Resideo Technologies, Inc. * |
15,983 | 292,169 | ||||||
REV Group, Inc. |
24,460 | 293,275 | ||||||
Rite Aid Corp. * |
2,568 | 5,752 | ||||||
Rocky Brands, Inc. |
657 | 15,157 | ||||||
Rush Enterprises, Inc. Class A |
4,576 | 249,850 | ||||||
Rush Enterprises, Inc. Class B |
716 | 42,881 | ||||||
Sally Beauty Holdings, Inc. * |
708 | 11,031 | ||||||
ScanSource, Inc. * |
2,757 | 83,923 | ||||||
SeaWorld Entertainment, Inc. * |
2,204 | 135,127 | ||||||
Shoe Carnival, Inc. |
1,856 | 47,606 | ||||||
Signet Jewelers Ltd. |
4,941 | 384,311 | ||||||
SkyWest, Inc. * |
5,593 | 123,997 | ||||||
Sleep Number Corp. * |
1,284 | 39,046 | ||||||
Snap One Holdings Corp. * |
1,865 | 17,438 | ||||||
Solid Power, Inc. * |
8,760 | 26,368 | ||||||
Sonic Automotive, Inc. Class A |
1,996 | 108,463 | ||||||
Sovos Brands, Inc. * |
1,414 | 23,586 | ||||||
Spirit Airlines, Inc. |
12,069 | 207,225 | ||||||
Sportsmans Warehouse Holdings, Inc. * |
4,079 | 34,590 | ||||||
Standard Motor Products, Inc. |
2,202 | 81,276 | ||||||
Steelcase, Inc. Class A |
9,505 | 80,032 | ||||||
Superior Group of Cos., Inc. |
1,123 | 8,838 | ||||||
Taylor Morrison Home Corp. * |
12,278 | 469,756 | ||||||
ThredUp, Inc. Class A * |
4,983 | 12,607 | ||||||
Tile Shop Holdings, Inc. * |
3,317 | 15,557 | ||||||
Tillys, Inc. Class A * |
2,283 | 17,602 | ||||||
Titan Machinery, Inc. * |
2,211 | 67,325 | ||||||
Topgolf Callaway Brands Corp. * |
15,481 | 334,699 | ||||||
Torrid Holdings, Inc. * |
811 | 3,536 | ||||||
Traeger, Inc. * |
3,226 | 13,259 | ||||||
TravelCenters of America, Inc. * |
1,392 | 120,408 | ||||||
Tri Pointe Homes, Inc. * |
10,125 | 256,365 | ||||||
Tupperware Brands Corp. * |
5,567 | 13,918 | ||||||
TuSimple Holdings, Inc. Class A * |
15,455 | 22,719 | ||||||
UniFirst Corp. |
1,655 | 291,661 | ||||||
Universal Electronics, Inc. * |
1,536 | 15,575 | ||||||
Urban Outfitters, Inc. * |
7,088 | 196,479 | ||||||
Vinco Ventures, Inc. * |
13,870 | 4,456 | ||||||
Virgin Galactic Holdings, Inc. * |
13,869 | 56,169 | ||||||
Vista Outdoor, Inc. * |
6,203 | 171,885 | ||||||
VSE Corp. |
1,158 | 51,994 | ||||||
Wabash National Corp. |
669 | 16,451 | ||||||
Weyco Group, Inc. |
659 | 16,673 | ||||||
Wheels Up Experience, Inc. * |
15,734 | 9,956 | ||||||
Winmark Corp. |
307 | 98,372 | ||||||
Winnebago Industries, Inc. |
3,312 | 191,102 | ||||||
Workhorse Group, Inc. * |
1,628 | 2,165 | ||||||
World Fuel Services Corp. |
6,752 | 172,514 | ||||||
Xperi, Inc. * |
4,552 | 49,753 | ||||||
Xponential Fitness, Inc. Class A * |
1,560 | 47,408 | ||||||
Zumiez, Inc. * |
1,709 | 31,514 | ||||||
|
|
|||||||
32,048,692 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 15.0% |
| |||||||
23andMe Holding Co. Class A * |
16,072 | 36,644 | ||||||
2seventy bio, Inc. * |
4,083 | 41,647 | ||||||
2U, Inc. * |
8,377 | 57,382 | ||||||
4D Molecular Therapeutics, Inc. * |
3,277 | 56,332 | ||||||
Aarons Co., Inc. |
3,308 | 31,955 | ||||||
AbCellera Biologics, Inc. * (Canada) |
13,233 | 99,777 | ||||||
ABM Industries, Inc. |
7,325 | 329,186 | ||||||
Absci Corp. * |
6,509 | 11,391 | ||||||
ACCO Brands Corp. |
10,047 | 53,450 | ||||||
Accolade, Inc. * |
7,264 | 104,456 | ||||||
Acrivon Therapeutics, Inc. * |
543 | 6,891 | ||||||
AdaptHealth Corp. * |
7,887 | 98,035 | ||||||
Adaptive Biotechnologies Corp. * |
11,818 | 104,353 |
Shares |
Value |
|||||||
Addus HomeCare Corp. * |
1,042 | $ 111,244 | ||||||
Adicet Bio, Inc. * |
3,312 | 19,077 | ||||||
ADMA Biologics, Inc. * |
12,967 | 42,921 | ||||||
Adtalem Global Education, Inc. * |
4,935 | 190,590 | ||||||
Aerovate Therapeutics, Inc. * |
998 | 20,130 | ||||||
Affimed NV * (Germany) |
1,510 | 1,126 | ||||||
Agios Pharmaceuticals, Inc. * |
6,050 | 138,969 | ||||||
Akero Therapeutics, Inc. * |
3,584 | 137,124 | ||||||
Alico, Inc. |
761 | 18,416 | ||||||
Alight, Inc. Class A * |
42,475 | 391,195 | ||||||
Allogene Therapeutics, Inc. * |
8,703 | 42,993 | ||||||
Allovir, Inc. * |
3,242 | 12,773 | ||||||
Alpha Teknova, Inc. * |
701 | 2,075 | ||||||
Alphatec Holdings, Inc. * |
782 | 12,199 | ||||||
Alpine Immune Sciences, Inc. * |
1,429 | 11,032 | ||||||
Alta Equipment Group, Inc. |
1,922 | 30,464 | ||||||
ALX Oncology Holdings, Inc. * |
2,108 | 9,528 | ||||||
American Public Education, Inc. * |
2,312 | 12,531 | ||||||
American Well Corp. Class A * |
25,050 | 59,118 | ||||||
Amylyx Pharmaceuticals, Inc. * |
4,481 | 131,473 | ||||||
AN2 Therapeutics, Inc. * |
1,046 | 10,324 | ||||||
AnaptysBio, Inc. * |
2,213 | 48,155 | ||||||
Andersons, Inc. |
3,544 | 146,438 | ||||||
AngioDynamics, Inc. * |
4,064 | 42,022 | ||||||
ANI Pharmaceuticals, Inc. * |
1,392 | 55,290 | ||||||
Anika Therapeutics, Inc. * |
1,592 | 45,722 | ||||||
API Group Corp. * |
22,774 | 511,960 | ||||||
AppHarvest, Inc. * |
9,064 | 5,550 | ||||||
Arbutus Biopharma Corp. * |
5,162 | 15,641 | ||||||
Arcellx, Inc. * |
3,264 | 100,564 | ||||||
Arcturus Therapeutics Holdings, Inc. * |
326 | 7,814 | ||||||
Arcus Biosciences, Inc. * |
5,705 | 104,059 | ||||||
Artivion, Inc. * |
749 | 9,812 | ||||||
Atara Biotherapeutics, Inc. * |
10,028 | 29,081 | ||||||
Atea Pharmaceuticals, Inc. * |
7,915 | 26,515 | ||||||
Athira Pharma, Inc. * |
3,981 | 9,953 | ||||||
ATI Physical Therapy, Inc. * |
8,550 | 2,173 | ||||||
AtriCure, Inc. * |
1,816 | 75,273 | ||||||
Avanos Medical, Inc. * |
5,179 | 154,023 | ||||||
Aveanna Healthcare Holdings, Inc. * |
4,980 | 5,179 | ||||||
Avidity Biosciences, Inc. * |
7,215 | 110,750 | ||||||
B&G Foods, Inc. |
7,826 | 121,538 | ||||||
Bakkt Holdings, Inc. * |
5,228 | 8,992 | ||||||
Barrett Business Services, Inc. |
76 | 6,737 | ||||||
Beachbody Co., Inc. * |
11,191 | 5,396 | ||||||
Beauty Health Co. * |
1,028 | 12,984 | ||||||
Benson Hill, Inc. * |
8,618 | 9,911 | ||||||
BioCryst Pharmaceuticals, Inc. * |
6,279 | 52,367 | ||||||
Biohaven Ltd. * |
2,617 | 35,748 | ||||||
BioLife Solutions, Inc. * |
3,401 | 73,972 | ||||||
Bionano Genomics, Inc. * |
32,674 | 36,268 | ||||||
Bioventus, Inc. Class A * |
3,920 | 4,194 | ||||||
Bioxcel Therapeutics, Inc. * |
2,088 | 38,962 | ||||||
Bird Global, Inc. Class A * |
21,041 | 5,889 | ||||||
Bluebird Bio, Inc. * |
11,522 | 36,640 | ||||||
Boxed, Inc. * |
7,514 | 1,426 | ||||||
Bridgebio Pharma, Inc. * |
4,382 | 72,654 | ||||||
Bright Health Group, Inc. * |
24,891 | 5,483 | ||||||
BrightView Holdings, Inc. * |
4,481 | 25,183 | ||||||
Brookdale Senior Living, Inc. * |
20,313 | 59,923 | ||||||
Butterfly Network, Inc. * |
14,514 | 27,286 | ||||||
C4 Therapeutics, Inc. * |
4,567 | 14,340 | ||||||
Cal-Maine Foods, Inc. |
323 | 19,667 | ||||||
Cara Therapeutics, Inc. * |
4,892 | 24,020 | ||||||
Cardiovascular Systems, Inc. * |
2,036 | 40,435 | ||||||
CareMax, Inc. * |
6,383 | 17,043 | ||||||
Caribou Biosciences, Inc. * |
6,125 | 32,524 | ||||||
Cass Information Systems, Inc. |
1,229 | 53,228 | ||||||
Castle Biosciences, Inc. * |
2,679 | 60,867 | ||||||
Celldex Therapeutics, Inc. * |
3,991 | 143,596 | ||||||
Central Garden & Pet Co. * |
706 | 28,988 | ||||||
Central Garden & Pet Co. Class A * |
2,817 | 110,060 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
115
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Century Therapeutics, Inc. * |
2,465 | $ 8,554 | ||||||
Chefs Warehouse, Inc. * |
1,102 | 37,523 | ||||||
Chimerix, Inc. * |
3,295 | 4,152 | ||||||
Chinook Therapeutics, Inc. * |
5,615 | 129,987 | ||||||
Cipher Mining, Inc. * |
4,347 | 10,129 | ||||||
Cogent Biosciences, Inc. * |
6,991 | 75,433 | ||||||
Community Health Systems, Inc. * |
13,657 | 66,919 | ||||||
CompoSecure, Inc. * |
266 | 1,958 | ||||||
CoreCivic, Inc. * |
12,651 | 116,389 | ||||||
Crinetics Pharmaceuticals, Inc. * |
4,948 | 79,465 | ||||||
Cross Country Healthcare, Inc. * |
3,386 | 75,576 | ||||||
CTI BioPharma Corp. * |
8,802 | 36,968 | ||||||
Cue Health, Inc. * |
11,890 | 21,640 | ||||||
Cullinan Oncology, Inc. * |
2,859 | 29,248 | ||||||
Custom Truck One Source, Inc. * |
4,450 | 30,216 | ||||||
Cytokinetics, Inc. * |
861 | 30,299 | ||||||
Day One Biopharmaceuticals, Inc. * |
3,024 | 40,431 | ||||||
Deciphera Pharmaceuticals, Inc. * |
4,144 | 64,025 | ||||||
Deluxe Corp. |
4,727 | 75,632 | ||||||
Design Therapeutics, Inc. * |
3,700 | 21,349 | ||||||
DICE Therapeutics, Inc. * |
3,920 | 112,308 | ||||||
Distribution Solutions Group, Inc. * |
93 | 4,228 | ||||||
Dyne Therapeutics, Inc. * |
3,459 | 39,848 | ||||||
Edgewell Personal Care Co. |
5,692 | 241,455 | ||||||
Edgewise Therapeutics, Inc. * |
4,139 | 27,607 | ||||||
Editas Medicine, Inc. * |
7,544 | 54,694 | ||||||
Eiger BioPharmaceuticals, Inc. * |
481 | 431 | ||||||
Embecta Corp. |
856 | 24,071 | ||||||
Emergent BioSolutions, Inc. * |
5,499 | 56,970 | ||||||
Enanta Pharmaceuticals, Inc. * |
1,943 | 78,575 | ||||||
Ennis, Inc. |
2,943 | 62,068 | ||||||
Enochian Biosciences, Inc. * |
2,530 | 2,315 | ||||||
Envista Holdings Corp. * |
78,819 | 3,222,121 | ||||||
EQRx, Inc. * |
21,953 | 42,589 | ||||||
Erasca, Inc. * |
8,205 | 24,697 | ||||||
European Wax Center, Inc. Class A |
217 | 4,123 | ||||||
EyePoint Pharmaceuticals, Inc. * |
1,722 | 5,063 | ||||||
FibroGen, Inc. * |
1,041 | 19,425 | ||||||
First Advantage Corp. * |
5,918 | 82,615 | ||||||
Fresh Del Monte Produce, Inc. |
3,215 | 96,804 | ||||||
Fulcrum Therapeutics, Inc. * |
5,470 | 15,590 | ||||||
Fulgent Genetics, Inc. * |
2,355 | 73,523 | ||||||
GeneDx Holdings Corp. * |
34,658 | 12,650 | ||||||
Generation Bio Co. * |
5,005 | 21,522 | ||||||
GEO Group, Inc. * |
13,102 | 103,375 | ||||||
Geron Corp. * |
14,143 | 30,690 | ||||||
Glanbia PLC (Ireland) |
216,596 | 3,127,751 | ||||||
Graham Holdings Co. Class B |
406 | 241,911 | ||||||
Green Dot Corp. Class A * |
4,586 | 78,787 | ||||||
Greenidge Generation Holdings, Inc. * |
1,209 | 546 | ||||||
Hackett Group, Inc. |
371 | 6,856 | ||||||
Hain Celestial Group, Inc. * |
10,034 | 172,083 | ||||||
Healthcare Services Group, Inc. |
4,209 | 58,379 | ||||||
Heidrick & Struggles International, Inc. |
2,134 | 64,788 | ||||||
Herbalife Nutrition Ltd. * |
3,594 | 57,863 | ||||||
Herc Holdings, Inc. |
17,033 | 1,940,059 | ||||||
HF Foods Group, Inc. * |
3,731 | 14,626 | ||||||
HilleVax, Inc. * |
1,535 | 25,374 | ||||||
Honest Co., Inc. * |
7,348 | 13,226 | ||||||
Hostess Brands, Inc. * |
14,656 | 364,641 | ||||||
Huron Consulting Group, Inc. * |
865 | 69,520 | ||||||
ICF International, Inc. |
7,055 | 773,934 | ||||||
Icosavax, Inc. * |
2,234 | 12,957 | ||||||
Ideaya Biosciences, Inc. * |
4,837 | 66,412 | ||||||
IGM Biosciences, Inc. * |
297 | 4,081 | ||||||
ImmunityBio, Inc. * |
2,422 | 4,408 | ||||||
ImmunoGen, Inc. * |
11,864 | 45,558 | ||||||
Immunovant, Inc. * |
4,854 | 75,286 | ||||||
Inari Medical, Inc. * |
469 | 28,956 | ||||||
Information Services Group, Inc. |
2,214 | 11,269 | ||||||
Ingles Markets, Inc. Class A |
1,587 | 140,767 | ||||||
Innovage Holding Corp. * |
2,105 | 16,798 |
Shares |
Value |
|||||||
Inogen, Inc. * |
2,350 | $ 29,328 | ||||||
Inotiv, Inc. * |
2,565 | 11,106 | ||||||
Inovio Pharmaceuticals, Inc. * |
26,993 | 22,134 | ||||||
Instil Bio, Inc. * |
8,942 | 5,909 | ||||||
Integer Holdings Corp. * |
41,383 | 3,207,182 | ||||||
Intellia Therapeutics, Inc. * |
3,178 | 118,444 | ||||||
Invitae Corp. * |
26,629 | 35,949 | ||||||
Invivyd, Inc. * |
6,262 | 7,514 | ||||||
Iovance Biotherapeutics, Inc. * |
16,770 | 102,465 | ||||||
iTeos Therapeutics, Inc. * |
2,569 | 34,964 | ||||||
Janux Therapeutics, Inc. * |
1,874 | 22,675 | ||||||
John B Sanfilippo & Son, Inc. |
378 | 36,636 | ||||||
John Wiley & Sons, Inc. Class A |
281 | 10,894 | ||||||
Jounce Therapeutics, Inc. * |
3,799 | 7,028 | ||||||
KalVista Pharmaceuticals, Inc. * |
2,637 | 20,727 | ||||||
Kelly Services, Inc. Class A |
3,686 | 61,151 | ||||||
Keros Therapeutics, Inc. * |
119 | 5,081 | ||||||
Kezar Life Sciences, Inc. * |
5,748 | 17,991 | ||||||
Kiniksa Pharmaceuticals Ltd. Class A * |
181 | 1,948 | ||||||
Kinnate Biopharma, Inc. * |
2,956 | 18,475 | ||||||
Kodiak Sciences, Inc. * |
3,617 | 22,425 | ||||||
Krispy Kreme, Inc. |
5,781 | 89,895 | ||||||
Kronos Bio, Inc. * |
5,035 | 7,351 | ||||||
Krystal Biotech, Inc. * |
1,580 | 126,495 | ||||||
Kura Oncology, Inc. * |
7,098 | 86,809 | ||||||
Kymera Therapeutics, Inc. * |
4,185 | 124,002 | ||||||
Lancaster Colony Corp. |
329 | 66,748 | ||||||
Laureate Education, Inc. |
14,758 | 173,554 | ||||||
Lexicon Pharmaceuticals, Inc. * |
5,089 | 12,366 | ||||||
Lifecore Biomedical, Inc. * |
3,257 | 12,295 | ||||||
LifeStance Health Group, Inc. * |
7,370 | 54,759 | ||||||
Ligand Pharmaceuticals, Inc. * |
1,448 | 106,515 | ||||||
Liquidia Corp. * |
1,709 | 11,809 | ||||||
LivaNova PLC * |
1,389 | 60,533 | ||||||
LiveRamp Holdings, Inc. * |
7,107 | 155,857 | ||||||
Lyell Immunopharma, Inc. * |
18,894 | 44,590 | ||||||
MacroGenics, Inc. * |
6,583 | 47,200 | ||||||
MannKind Corp. * |
25,104 | 102,926 | ||||||
Maple Leaf Foods, Inc. (Canada) |
108,368 | 2,096,799 | ||||||
Marathon Digital Holdings, Inc. * |
12,784 | 111,476 | ||||||
MarketWise, Inc. * |
2,246 | 4,155 | ||||||
Matthews International Corp. Class A |
3,317 | 119,611 | ||||||
MaxCyte, Inc. * |
9,624 | 47,639 | ||||||
MeiraGTx Holdings PLC * |
3,463 | 17,904 | ||||||
Merit Medical Systems, Inc. * |
855 | 63,227 | ||||||
Mersana Therapeutics, Inc. * |
10,107 | 41,540 | ||||||
MiMedx Group, Inc. * |
12,321 | 42,015 | ||||||
Mineralys Therapeutics, Inc. * |
758 | 11,870 | ||||||
Mission Produce, Inc. * |
3,865 | 42,940 | ||||||
ModivCare, Inc. * |
952 | 80,044 | ||||||
MoneyGram International, Inc. * |
10,394 | 108,305 | ||||||
Moneylion, Inc. * |
11,685 | 6,635 | ||||||
Monro, Inc. |
3,460 | 171,028 | ||||||
Monte Rosa Therapeutics, Inc. * |
3,244 | 25,271 | ||||||
Morphic Holding, Inc. * |
410 | 15,432 | ||||||
Multiplan Corp. * |
41,266 | 43,742 | ||||||
Myriad Genetics, Inc. * |
8,776 | 203,866 | ||||||
Nano-X Imaging Ltd. * (Israel) |
4,546 | 26,230 | ||||||
NanoString Technologies, Inc. * |
562 | 5,564 | ||||||
National HealthCare Corp. |
1,373 | 79,730 | ||||||
Natural Grocers by Vitamin Cottage, Inc. |
222 | 2,609 | ||||||
Natures Sunshine Products, Inc. * |
1,476 | 15,070 | ||||||
Nautilus Biotechnology, Inc. * |
5,704 | 15,800 | ||||||
Nektar Therapeutics* |
19,817 | 13,929 | ||||||
Neogen Corp. * |
1,919 | 35,540 | ||||||
NeoGenomics, Inc. * |
13,879 | 241,633 | ||||||
NGM Biopharmaceuticals, Inc. * |
2,062 | 8,413 | ||||||
Nkarta, Inc. * |
3,236 | 11,488 | ||||||
Nurix Therapeutics, Inc. * |
5,067 | 44,995 | ||||||
Nuvalent, Inc. Class A * |
2,227 | 58,102 | ||||||
Nuvation Bio, Inc. * |
12,501 | 20,752 | ||||||
OmniAb, Inc. * |
7,380 | 27,158 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
116
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
OPKO Health, Inc. * |
44,088 | $ 64,368 | ||||||
OraSure Technologies, Inc. * |
7,839 | 47,426 | ||||||
Orthofix Medical, Inc. * |
3,744 | 62,712 | ||||||
Oscar Health, Inc. Class A * |
13,177 | 86,178 | ||||||
Owens & Minor, Inc. * |
7,124 | 103,654 | ||||||
P3 Health Partners, Inc. * |
884 | 937 | ||||||
Pacific Biosciences of California, Inc. * |
27,340 | 316,597 | ||||||
Pardes Biosciences, Inc. * |
3,463 | 4,571 | ||||||
Patterson Cos., Inc. |
2,028 | 54,290 | ||||||
Paysafe Ltd. * |
3,078 | 53,157 | ||||||
Pediatrix Medical Group, Inc. * |
9,113 | 135,875 | ||||||
PepGen, Inc. * |
1,230 | 15,043 | ||||||
Perdoceo Education Corp. * |
7,411 | 99,530 | ||||||
PetIQ, Inc. * |
679 | 7,768 | ||||||
PFSweb, Inc. |
1,366 | 5,792 | ||||||
PhenomeX, Inc. * |
7,113 | 8,251 | ||||||
Phibro Animal Health Corp. Class A |
242 | 3,707 | ||||||
PMV Pharmaceuticals, Inc. * |
4,022 | 19,185 | ||||||
Point Biopharma Global, Inc. SPAC * |
613 | 4,457 | ||||||
Praxis Precision Medicines, Inc. * |
4,464 | 3,611 | ||||||
Precigen, Inc. * |
2,339 | 2,479 | ||||||
Prestige Consumer Healthcare, Inc. * |
5,482 | 343,338 | ||||||
Prime Medicine, Inc. * |
702 | 8,635 | ||||||
Primo Water Corp. |
17,353 | 266,369 | ||||||
PROG Holdings, Inc. * |
4,598 | 109,386 | ||||||
Protagonist Therapeutics, Inc. * |
5,144 | 118,312 | ||||||
Provention Bio, Inc. * |
1,066 | 25,691 | ||||||
PTC Therapeutics, Inc. * |
1,888 | 91,455 | ||||||
QinetiQ Group PLC (United Kingdom) |
366,187 | 1,471,133 | ||||||
Quad/Graphics, Inc. * |
3,208 | 13,762 | ||||||
Quanex Building Products Corp. |
3,697 | 79,596 | ||||||
Quanterix Corp. * |
3,214 | 36,222 | ||||||
Quantum-Si, Inc. * |
9,435 | 16,606 | ||||||
Rallybio Corp. * |
582 | 3,323 | ||||||
RAPT Therapeutics, Inc. * |
1,001 | 18,368 | ||||||
Reata Pharmaceuticals, Inc. Class A * |
501 | 45,551 | ||||||
Recursion Pharmaceuticals, Inc. Class A * |
13,792 | 91,993 | ||||||
REGENXBIO, Inc. * |
4,386 | 82,939 | ||||||
Relay Therapeutics, Inc. * |
8,675 | 142,877 | ||||||
Relmada Therapeutics, Inc. * |
1,019 | 2,303 | ||||||
Repay Holdings Corp. * |
9,568 | 62,862 | ||||||
Replimune Group, Inc. * |
5,186 | 91,585 | ||||||
Resources Connection, Inc. |
3,505 | 59,795 | ||||||
REVOLUTION Medicines, Inc. * |
8,263 | 178,977 | ||||||
Riot Platforms, Inc. * |
17,574 | 175,564 | ||||||
Ritchie Bros Auctioneers, Inc. (Canada) |
31,544 | 1,775,612 | ||||||
Rocket Pharmaceuticals, Inc. * |
6,205 | 106,292 | ||||||
RxSight, Inc. * |
203 | 3,386 | ||||||
Sabre Corp. * |
28,836 | 123,706 | ||||||
Sage Therapeutics, Inc. * |
5,755 | 241,480 | ||||||
Sana Biotechnology, Inc. * |
9,720 | 31,784 | ||||||
Sangamo Therapeutics, Inc. * |
13,794 | 24,277 | ||||||
Scilex Holding Co. * (Singapore) |
6,965 | 57,113 | ||||||
Seer, Inc. * |
5,633 | 21,743 | ||||||
Select Medical Holdings Corp. |
1,728 | 44,669 | ||||||
Seneca Foods Corp. Class A * |
557 | 29,114 | ||||||
Singular Genomics Systems, Inc. * |
6,914 | 8,366 | ||||||
SomaLogic, Inc. * |
14,682 | 37,439 | ||||||
SpartanNash Co. |
3,916 | 97,117 | ||||||
Spire Global, Inc. * |
15,401 | 10,288 | ||||||
SpringWorks Therapeutics, Inc. * |
3,236 | 83,295 | ||||||
Sterling Check Corp. * |
223 | 2,486 | ||||||
Stoke Therapeutics, Inc. * |
2,427 | 20,217 | ||||||
StoneCo Ltd. Class A * (Brazil) |
14,732 | 140,543 | ||||||
Strategic Education, Inc. |
2,503 | 224,844 | ||||||
SunOpta, Inc. * (Canada) |
889 | 6,845 | ||||||
Supernus Pharmaceuticals, Inc. * |
5,318 | 192,671 | ||||||
Surgery Partners, Inc. * |
711 | 24,508 | ||||||
Sutro Biopharma, Inc. * |
5,887 | 27,198 | ||||||
Syndax Pharmaceuticals, Inc. * |
5,122 | 108,177 | ||||||
Tactile Systems Technology, Inc. * |
1,389 | 22,807 | ||||||
Talaris Therapeutics, Inc. * |
2,703 | 5,082 |
Shares |
Value |
|||||||
Tango Therapeutics, Inc. * |
4,994 | $ 19,726 | ||||||
Tarsus Pharmaceuticals, Inc. * |
2,007 | 25,228 | ||||||
Tattooed Chef, Inc. * |
999 | 1,419 | ||||||
Tejon Ranch Co. * |
2,270 | 41,473 | ||||||
Tenaya Therapeutics, Inc. * |
5,064 | 14,432 | ||||||
Textainer Group Holdings Ltd. (China) |
4,142 | 133,000 | ||||||
Theravance Biopharma, Inc. * |
817 | 8,864 | ||||||
Theseus Pharmaceuticals, Inc. * |
2,014 | 17,884 | ||||||
Third Harmonic Bio, Inc. * |
884 | 3,642 | ||||||
Tootsie Roll Industries, Inc. |
217 | 9,727 | ||||||
Travere Therapeutics, Inc. * |
570 | 12,819 | ||||||
TreeHouse Foods, Inc. * |
5,603 | 282,559 | ||||||
Triton International Ltd. (Bermuda) |
6,411 | 405,303 | ||||||
TrueBlue, Inc. * |
3,514 | 62,549 | ||||||
Twist Bioscience Corp. * |
1,803 | 27,189 | ||||||
Tyra Biosciences, Inc. * |
1,448 | 23,269 | ||||||
United Natural Foods, Inc. * |
6,152 | 162,105 | ||||||
Universal Corp. |
2,677 | 141,587 | ||||||
Utah Medical Products, Inc. |
11 | 1,042 | ||||||
Utz Brands, Inc. |
1,026 | 16,898 | ||||||
V2X, Inc. * |
1,313 | 52,152 | ||||||
Vanda Pharmaceuticals, Inc. * |
6,041 | 41,018 | ||||||
Varex Imaging Corp. * |
4,219 | 76,744 | ||||||
Vaxart, Inc. * |
12,607 | 9,540 | ||||||
VBI Vaccines, Inc. * |
24,264 | 7,352 | ||||||
Vector Group Ltd. |
13,524 | 162,423 | ||||||
Vera Therapeutics, Inc. * |
146 | 1,133 | ||||||
Veracyte, Inc. * |
7,924 | 176,705 | ||||||
Verve Therapeutics, Inc. * |
4,330 | 62,439 | ||||||
Viad Corp. * |
2,219 | 46,244 | ||||||
ViewRay, Inc. * |
2,040 | 7,058 | ||||||
Village Super Market, Inc. Class A |
899 | 20,569 | ||||||
Vintage Wine Estates, Inc. * |
3,345 | 3,579 | ||||||
Vir Biotechnology, Inc. * |
8,005 | 186,276 | ||||||
Viridian Therapeutics, Inc. * |
1,127 | 28,671 | ||||||
Weis Markets, Inc. |
1,816 | 153,761 | ||||||
Whole Earth Brands, Inc. * |
3,793 | 9,710 | ||||||
Willdan Group, Inc. * |
1,082 | 16,901 | ||||||
WillScot Mobile Mini Holdings Corp. * |
1,501 | 70,367 | ||||||
WW International, Inc. * |
6,156 | 25,363 | ||||||
Xencor, Inc. * |
6,352 | 177,157 | ||||||
Zentalis Pharmaceuticals, Inc. * |
301 | 5,177 | ||||||
Zimvie, Inc. * |
2,128 | 15,385 | ||||||
|
|
|||||||
37,779,152 | ||||||||
|
|
|||||||
Energy - 6.6% |
| |||||||
Aemetis, Inc. * |
2,817 | 6,535 | ||||||
Alto Ingredients, Inc. * |
7,726 | 11,589 | ||||||
Amplify Energy Corp. * |
1,209 | 8,306 | ||||||
Archrock, Inc. |
14,937 | 145,934 | ||||||
Berry Corp. |
6,923 | 54,346 | ||||||
Borr Drilling Ltd. * (United Arab Emirates) |
11,927 | 90,407 | ||||||
Bristow Group, Inc. * |
2,551 | 57,142 | ||||||
California Resources Corp. |
8,183 | 315,045 | ||||||
Callon Petroleum Co. * |
908 | 30,364 | ||||||
Chord Energy Corp. |
1,864 | 250,894 | ||||||
Civitas Resources, Inc. |
8,134 | 555,878 | ||||||
Cleanspark, Inc. * |
8,378 | 23,291 | ||||||
CNX Resources Corp. * |
17,599 | 281,936 | ||||||
CONSOL Energy, Inc. |
192 | 11,188 | ||||||
Crescent Point Energy Corp. (Canada) |
578,699 | 4,084,934 | ||||||
Diamond Offshore Drilling, Inc. * |
11,302 | 136,076 | ||||||
DMC Global, Inc. * |
1,528 | 33,570 | ||||||
Dril-Quip, Inc. * |
3,745 | 107,444 | ||||||
Eneti, Inc. |
2,474 | 23,132 | ||||||
Equitrans Midstream Corp. |
34,638 | 200,208 | ||||||
Excelerate Energy, Inc. Class A |
2,026 | 44,856 | ||||||
Expro Group Holdings NV * |
9,626 | 176,733 | ||||||
FuelCell Energy, Inc. * |
12,272 | 34,975 | ||||||
FutureFuel Corp. |
2,822 | 20,826 | ||||||
Gevo, Inc. * |
21,496 | 33,104 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
117
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Golar LNG Ltd. * (Cameroon) |
10,493 | $ 226,649 | ||||||
Green Plains, Inc. * |
105,602 | 3,272,606 | ||||||
Helix Energy Solutions Group, Inc. * |
15,860 | 122,756 | ||||||
Helmerich & Payne, Inc. |
11,385 | 407,014 | ||||||
Hunting PLC (United Kingdom) |
181,209 | 527,553 | ||||||
Kinetik Holdings, Inc. |
1,647 | 51,551 | ||||||
Murphy Oil Corp. |
9,233 | 341,436 | ||||||
Nabors Industries Ltd. * |
116 | 14,142 | ||||||
NACCO Industries, Inc. Class A |
404 | 14,572 | ||||||
National Energy Services Reunited Corp. * |
4,043 | 21,266 | ||||||
Newpark Resources, Inc. * |
9,420 | 36,267 | ||||||
NextDecade Corp. * |
696 | 3,459 | ||||||
Noble Corp. PLC * |
7,626 | 300,998 | ||||||
Northern Oil & Gas, Inc. |
1,089 | 33,051 | ||||||
NOW, Inc. * |
12,275 | 136,866 | ||||||
Oceaneering International, Inc. * |
1,027 | 18,106 | ||||||
Oil States International, Inc. * |
6,875 | 57,269 | ||||||
Patterson-UTI Energy, Inc. |
7,568 | 88,546 | ||||||
PBF Energy, Inc. Class A |
10,081 | 437,112 | ||||||
Peabody Energy Corp. * |
12,981 | 332,314 | ||||||
Permian Resources Corp. |
22,560 | 236,880 | ||||||
ProFrac Holding Corp. Class A * |
1,346 | 17,054 | ||||||
ProPetro Holding Corp. * |
9,539 | 68,585 | ||||||
REX American Resources Corp. * |
1,694 | 48,431 | ||||||
Riley Exploration Permian, Inc. |
375 | 14,273 | ||||||
Ring Energy, Inc. * |
6,757 | 12,838 | ||||||
Select Energy Services, Inc. Class A |
7,798 | 54,274 | ||||||
Stem, Inc. * |
970 | 5,500 | ||||||
SunCoke Energy, Inc. |
9,101 | 81,727 | ||||||
Sunnova Energy International, Inc. * |
10,983 | 171,554 | ||||||
TechnipFMC PLC * (United Kingdom) |
151,572 | 2,068,958 | ||||||
Tidewater, Inc. * |
5,137 | 226,439 | ||||||
US Silica Holdings, Inc. * |
6,872 | 82,052 | ||||||
Vertex Energy, Inc. * |
895 | 8,843 | ||||||
W&T Offshore, Inc. * |
2,066 | 10,495 | ||||||
Warrior Met Coal, Inc. |
5,090 | 186,854 | ||||||
|
|
|||||||
16,477,003 | ||||||||
|
|
|||||||
Financial - 30.2% |
| |||||||
1st Source Corp. |
1,839 | 79,353 | ||||||
Acadia Realty Trust REIT |
9,910 | 138,244 | ||||||
ACNB Corp. |
883 | 28,742 | ||||||
AFC Gamma, Inc. REIT |
1,647 | 20,028 | ||||||
Agree Realty Corp. REIT |
9,620 | 660,028 | ||||||
Alerus Financial Corp. |
1,789 | 28,713 | ||||||
Alexander & Baldwin, Inc. REIT * |
78,012 | 1,475,207 | ||||||
Amalgamated Financial Corp. |
1,928 | 34,106 | ||||||
Ambac Financial Group, Inc. * |
4,917 | 76,115 | ||||||
Amerant Bancorp, Inc. |
3,029 | 65,911 | ||||||
American Assets Trust, Inc. REIT |
5,438 | 101,092 | ||||||
American Equity Investment Life Holding Co. |
7,843 | 286,191 | ||||||
American National Bankshares, Inc. |
1,133 | 35,916 | ||||||
American Realty Investors, Inc. * |
134 | 3,527 | ||||||
Ameris Bancorp |
7,103 | 259,828 | ||||||
AMERISAFE, Inc. |
2,087 | 102,159 | ||||||
Angel Oak Mortgage REIT, Inc. REIT |
1,082 | 7,899 | ||||||
Anywhere Real Estate, Inc. * |
11,724 | 61,903 | ||||||
Apartment Investment & Management Co. Class A REIT |
16,555 | 127,308 | ||||||
Apollo Commercial Real Estate Finance, Inc. REIT |
15,570 | 144,957 | ||||||
Apple Hospitality REIT, Inc. |
23,815 | 369,609 | ||||||
Applied Digital Corp. * |
5,027 | 11,260 | ||||||
Arbor Realty Trust, Inc. REIT |
18,212 | 209,256 | ||||||
Ares Commercial Real Estate Corp. REIT |
5,606 | 50,959 | ||||||
Argo Group International Holdings Ltd. |
3,527 | 103,306 | ||||||
Armada Hoffler Properties, Inc. REIT |
7,330 | 86,567 | ||||||
ARMOUR Residential REIT, Inc. |
17,713 | 92,993 | ||||||
Arrow Financial Corp. |
1,685 | 41,973 | ||||||
Artisan Partners Asset Management, Inc. Class A |
2,277 | 72,818 | ||||||
Ashford Hospitality Trust, Inc. REIT * |
3,200 | 10,272 | ||||||
AssetMark Financial Holdings, Inc. * |
2,353 | 74,002 |
Shares |
Value |
|||||||
Associated Banc-Corp. |
16,751 | $ 301,183 | ||||||
Associated Capital Group, Inc. Class A |
148 | 5,469 | ||||||
Atlantic Union Bankshares Corp. |
35,066 | 1,229,063 | ||||||
Atlanticus Holdings Corp. * |
224 | 6,077 | ||||||
Axos Financial, Inc. * |
5,530 | 204,168 | ||||||
Banc of California, Inc. |
5,663 | 70,957 | ||||||
BancFirst Corp. |
897 | 74,541 | ||||||
Banco Latinoamericano de Comercio Exterior SA (Panama) |
3,004 | 52,210 | ||||||
Bancorp, Inc. * |
2,450 | 68,233 | ||||||
Bank First Corp. |
844 | 62,102 | ||||||
Bank of Marin Bancorp |
1,904 | 41,679 | ||||||
Bank of NT Butterfield & Son Ltd. (Bermuda) |
5,210 | 140,670 | ||||||
BankUnited, Inc. |
8,095 | 182,785 | ||||||
Bankwell Financial Group, Inc. |
752 | 18,695 | ||||||
Banner Corp. |
3,669 | 199,484 | ||||||
Bar Harbor Bankshares |
1,614 | 42,690 | ||||||
BayCom Corp. |
1,223 | 20,889 | ||||||
BCB Bancorp, Inc. |
1,825 | 23,962 | ||||||
Berkshire Hills Bancorp, Inc. |
4,531 | 113,547 | ||||||
BGC Partners, Inc. Class A |
34,752 | 181,753 | ||||||
Blackstone Mortgage Trust, Inc. Class A REIT |
18,985 | 338,882 | ||||||
Blue Foundry Bancorp * |
2,763 | 26,304 | ||||||
Blue Ridge Bankshares, Inc. |
1,859 | 18,962 | ||||||
Bluerock Homes Trust, Inc. REIT * |
295 | 5,847 | ||||||
Braemar Hotels & Resorts, Inc. REIT |
7,025 | 27,117 | ||||||
Brandywine Realty Trust REIT |
18,538 | 87,685 | ||||||
Bread Financial Holdings, Inc. |
16,981 | 514,864 | ||||||
Bridgewater Bancshares, Inc. * |
1,774 | 19,230 | ||||||
Brightsphere Investment Group, Inc. |
239 | 5,636 | ||||||
BrightSpire Capital, Inc. REIT |
10,234 | 60,381 | ||||||
Broadmark Realty Capital, Inc. REIT |
14,220 | 66,834 | ||||||
Broadstone Net Lease, Inc. REIT |
18,995 | 323,105 | ||||||
Brookfield Business Corp. Class A (Canada) |
377 | 7,472 | ||||||
Brookline Bancorp, Inc. |
8,972 | 94,206 | ||||||
BRT Apartments Corp. REIT |
1,435 | 28,298 | ||||||
Business First Bancshares, Inc. |
2,837 | 48,598 | ||||||
Byline Bancorp, Inc. |
2,935 | 63,455 | ||||||
Cadence Bank |
18,319 | 380,302 | ||||||
Cambridge Bancorp |
746 | 48,348 | ||||||
Camden National Corp. |
25,249 | 913,761 | ||||||
Cannae Holdings, Inc. * |
7,820 | 157,808 | ||||||
Capital Bancorp, Inc. |
982 | 16,340 | ||||||
Capital City Bank Group, Inc. |
1,477 | 43,291 | ||||||
Capitol Federal Financial, Inc. |
13,924 | 93,709 | ||||||
Capstar Financial Holdings, Inc. |
2,221 | 33,648 | ||||||
CareTrust REIT, Inc. |
10,148 | 198,698 | ||||||
Carter Bankshares, Inc. * |
2,603 | 36,442 | ||||||
Cathay General Bancorp |
7,845 | 270,809 | ||||||
CBL & Associates Properties, Inc. REIT |
2,437 | 62,485 | ||||||
Centerspace REIT |
1,645 | 89,866 | ||||||
Central Pacific Financial Corp. |
2,917 | 52,214 | ||||||
Chatham Lodging Trust REIT |
5,235 | 54,915 | ||||||
Chicago Atlantic Real Estate Finance, Inc. |
680 | 9,187 | ||||||
Chimera Investment Corp. REIT |
26,234 | 147,960 | ||||||
Citizens & Northern Corp. |
1,813 | 38,762 | ||||||
City Holding Co. |
1,569 | 142,591 | ||||||
City Office REIT, Inc. |
4,252 | 29,339 | ||||||
Civista Bancshares, Inc. |
1,873 | 31,616 | ||||||
Claros Mortgage Trust, Inc. REIT |
10,177 | 118,562 | ||||||
Clipper Realty, Inc. REIT |
46 | 264 | ||||||
CNB Financial Corp. |
2,455 | 47,136 | ||||||
CNO Financial Group, Inc. |
73,993 | 1,641,905 | ||||||
Colony Bankcorp, Inc. |
1,787 | 18,227 | ||||||
Columbia Banking System, Inc. |
117,071 | 2,507,661 | ||||||
Columbia Financial, Inc. * |
2,616 | 47,820 | ||||||
Community Bank System, Inc. |
5,731 | 300,820 | ||||||
Community Healthcare Trust, Inc. REIT |
1,061 | 38,833 | ||||||
Community Trust Bancorp, Inc. |
1,805 | 68,500 | ||||||
Compass Diversified Holdings |
6,863 | 130,946 | ||||||
ConnectOne Bancorp, Inc. |
4,054 | 71,675 | ||||||
Consumer Portfolio Services, Inc. * |
879 | 9,397 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
118
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Corporate Office Properties Trust REIT |
10,944 | $259,482 | ||||||
Crawford & Co. Class A |
1,578 | 13,192 | ||||||
CrossFirst Bankshares, Inc. * |
4,873 | 51,069 | ||||||
Cryptyde, Inc. * |
960 | 80 | ||||||
CTO Realty Growth, Inc. REIT |
2,494 | 43,046 | ||||||
Curo Group Holdings Corp. |
738 | 1,277 | ||||||
Cushman & Wakefield PLC * |
22,911 | 241,482 | ||||||
Customers Bancorp, Inc. * |
3,333 | 61,727 | ||||||
CVB Financial Corp. |
14,310 | 238,691 | ||||||
DiamondRock Hospitality Co. REIT |
23,098 | 187,787 | ||||||
Dime Community Bancshares, Inc. |
3,563 | 80,951 | ||||||
Diversified Healthcare Trust REIT |
25,976 | 35,068 | ||||||
Doma Holdings, Inc. * |
15,706 | 6,400 | ||||||
Donegal Group, Inc. Class A |
1,699 | 25,961 | ||||||
Douglas Elliman, Inc. |
7,590 | 23,605 | ||||||
Dynex Capital, Inc. REIT |
5,803 | 70,332 | ||||||
Eagle Bancorp, Inc. |
3,283 | 109,882 | ||||||
Easterly Government Properties, Inc. REIT |
10,040 | 137,950 | ||||||
Eastern Bankshares, Inc. |
13,692 | 172,793 | ||||||
eHealth, Inc. * |
2,162 | 20,236 | ||||||
Ellington Financial, Inc. REIT |
6,925 | 84,554 | ||||||
Elme Communities REIT |
9,351 | 167,009 | ||||||
Empire State Realty Trust, Inc. Class A REIT |
14,531 | 94,306 | ||||||
Employers Holdings, Inc. |
2,883 | 120,192 | ||||||
Enact Holdings, Inc. |
3,339 | 76,330 | ||||||
Encore Capital Group, Inc. * |
2,576 | 129,959 | ||||||
Enova International, Inc. * |
3,387 | 150,484 | ||||||
Enstar Group Ltd. * |
1,251 | 289,969 | ||||||
Enterprise Bancorp, Inc. |
1,131 | 35,581 | ||||||
Enterprise Financial Services Corp. |
4,008 | 178,717 | ||||||
Equity Bancshares, Inc. Class A |
1,642 | 40,016 | ||||||
Equity Commonwealth REIT |
11,547 | 239,138 | ||||||
Esquire Financial Holdings, Inc. |
137 | 5,357 | ||||||
Essent Group Ltd. |
11,711 | 469,026 | ||||||
Essential Properties Realty Trust, Inc. REIT |
14,111 | 350,658 | ||||||
EZCORP, Inc. Class A * |
5,356 | 46,062 | ||||||
Farmers & Merchants Bancorp, Inc. |
946 | 23,007 | ||||||
Farmers National Banc Corp. |
3,813 | 48,196 | ||||||
Farmland Partners, Inc. REIT |
5,452 | 58,336 | ||||||
FB Financial Corp. |
4,128 | 128,298 | ||||||
Federal Agricultural Mortgage Corp. Class C |
1,009 | 134,389 | ||||||
Finance Of America Cos., Inc. Class A * |
4,239 | 5,256 | ||||||
Financial Institutions, Inc. |
1,650 | 31,812 | ||||||
First BanCorp |
17,921 | 204,658 | ||||||
First Bancorp, Inc. |
1,195 | 30,939 | ||||||
First Bancorp/Southern Pines NC |
16,172 | 574,429 | ||||||
First Bancshares, Inc. |
2,909 | 75,139 | ||||||
First Bank |
1,783 | 18,008 | ||||||
First Busey Corp. |
5,936 | 120,738 | ||||||
First Business Financial Services, Inc. |
979 | 29,869 | ||||||
First Commonwealth Financial Corp. |
10,836 | 134,691 | ||||||
First Community Bankshares, Inc. |
1,723 | 43,161 | ||||||
First Financial Bancorp |
10,003 | 217,765 | ||||||
First Financial Corp. |
1,320 | 49,474 | ||||||
First Foundation, Inc. |
5,586 | 41,616 | ||||||
First Guaranty Bancshares, Inc. |
525 | 8,227 | ||||||
First Internet Bancorp |
886 | 14,752 | ||||||
First Interstate BancSystem, Inc. Class A |
99,404 | 2,968,203 | ||||||
First Merchants Corp. |
6,471 | 213,219 | ||||||
First Mid Bancshares, Inc. |
2,035 | 55,393 | ||||||
First of Long Island Corp. |
9,011 | 121,648 | ||||||
First Western Financial, Inc. * |
862 | 17,068 | ||||||
Five Star Bancorp |
891 | 19,014 | ||||||
Flushing Financial Corp. |
3,390 | 50,477 | ||||||
Four Corners Property Trust, Inc. REIT |
8,362 | 224,603 | ||||||
Franklin BSP Realty Trust, Inc. REIT |
9,062 | 108,110 | ||||||
Franklin Street Properties Corp. REIT |
10,751 | 16,879 | ||||||
FRP Holdings, Inc. * |
732 | 42,368 | ||||||
Fulton Financial Corp. |
18,169 | 251,096 | ||||||
FVCBankcorp, Inc. * |
1,543 | 16,433 | ||||||
GCM Grosvenor, Inc. Class A |
624 | 4,873 | ||||||
Genworth Financial, Inc. Class A * |
53,118 | 266,652 |
Shares |
Value |
|||||||
German American Bancorp, Inc. |
33,533 | $1,118,996 | ||||||
Getty Realty Corp. REIT |
4,508 | 162,423 | ||||||
Glacier Bancorp, Inc. |
10,729 | 450,725 | ||||||
Gladstone Commercial Corp. REIT |
415 | 5,241 | ||||||
Gladstone Land Corp. REIT |
1,612 | 26,840 | ||||||
Global Medical REIT, Inc. |
6,665 | 60,718 | ||||||
Global Net Lease, Inc. REIT |
11,596 | 149,125 | ||||||
Goosehead Insurance, Inc. Class A * |
245 | 12,789 | ||||||
Granite Point Mortgage Trust, Inc. REIT |
5,671 | 28,128 | ||||||
Great Southern Bancorp, Inc. |
1,019 | 51,643 | ||||||
Greenlight Capital Re Ltd. Class A * |
2,854 | 26,799 | ||||||
Guaranty Bancshares, Inc. |
1,014 | 28,260 | ||||||
Hancock Whitney Corp. |
9,492 | 345,509 | ||||||
Hanmi Financial Corp. |
3,306 | 61,392 | ||||||
Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT |
9,013 | 257,772 | ||||||
Hanover Insurance Group, Inc. |
29,048 | 3,732,668 | ||||||
HarborOne Bancorp, Inc. |
4,780 | 58,316 | ||||||
HBT Financial, Inc. |
1,416 | 27,924 | ||||||
Heartland Financial USA, Inc. |
4,674 | 179,295 | ||||||
Heritage Commerce Corp. |
6,845 | 57,019 | ||||||
Heritage Financial Corp. |
3,778 | 80,849 | ||||||
Hersha Hospitality Trust REIT |
3,241 | 21,780 | ||||||
Highwoods Properties, Inc. REIT |
23,327 | 540,953 | ||||||
Hilltop Holdings, Inc. |
5,602 | 166,211 | ||||||
Hingham Institution For Savings |
164 | 38,284 | ||||||
Hippo Holdings, Inc. * |
1,876 | 30,447 | ||||||
Home Bancorp, Inc. |
798 | 26,358 | ||||||
Home BancShares, Inc. |
20,883 | 453,370 | ||||||
Home Point Capital, Inc. |
1,000 | 1,930 | ||||||
HomeStreet, Inc. |
1,961 | 35,278 | ||||||
HomeTrust Bancshares, Inc. |
1,431 | 35,188 | ||||||
Hope Bancorp, Inc. |
12,333 | 121,110 | ||||||
Horace Mann Educators Corp. |
60,521 | 2,026,243 | ||||||
Horizon Bancorp, Inc. |
4,720 | 52,203 | ||||||
Independence Realty Trust, Inc. REIT |
24,895 | 399,067 | ||||||
Independent Bank Corp. |
4,918 | 322,719 | ||||||
Independent Bank Corp. MI |
2,197 | 39,041 | ||||||
Independent Bank Group, Inc. |
3,941 | 182,665 | ||||||
Indus Realty Trust, Inc. REIT |
583 | 38,647 | ||||||
Industrial Logistics Properties Trust REIT |
6,721 | 20,633 | ||||||
International Bancshares Corp. |
5,961 | 255,250 | ||||||
InvenTrust Properties Corp. REIT |
7,477 | 174,962 | ||||||
Invesco Mortgage Capital, Inc. REIT |
3,886 | 43,096 | ||||||
Investors Title Co. |
118 | 17,818 | ||||||
iStar, Inc. REIT * |
2,664 | 78,248 | ||||||
Jackson Financial, Inc. Class A |
8,261 | 309,044 | ||||||
James River Group Holdings Ltd. |
4,015 | 82,910 | ||||||
John Marshall Bancorp, Inc. |
1,261 | 27,238 | ||||||
Kearny Financial Corp. |
6,495 | 52,739 | ||||||
Kennedy-Wilson Holdings, Inc. |
13,005 | 215,753 | ||||||
Kite Realty Group Trust REIT |
24,016 | 502,415 | ||||||
KKR Real Estate Finance Trust, Inc. REIT |
6,327 | 72,065 | ||||||
Ladder Capital Corp. REIT |
12,025 | 113,636 | ||||||
Lakeland Bancorp, Inc. |
7,215 | 112,843 | ||||||
Lakeland Financial Corp. |
204 | 12,779 | ||||||
Legacy Housing Corp. * |
1,004 | 22,851 | ||||||
Lemonade, Inc. * |
5,359 | 76,419 | ||||||
LendingClub Corp. * |
10,927 | 78,784 | ||||||
Live Oak Bancshares, Inc. |
747 | 18,204 | ||||||
LTC Properties, Inc. REIT |
4,426 | 155,485 | ||||||
Luther Burbank Corp. |
1,979 | 18,761 | ||||||
LXP Industrial Trust REIT |
29,967 | 308,960 | ||||||
Macatawa Bank Corp. |
3,214 | 32,847 | ||||||
Macerich Co. REIT |
23,719 | 251,421 | ||||||
MBIA, Inc. * |
5,245 | 48,569 | ||||||
McGrath RentCorp |
32,054 | 2,990,959 | ||||||
Mercantile Bank Corp. |
1,808 | 55,289 | ||||||
Merchants Bancorp |
1,718 | 44,737 | ||||||
Mercury General Corp. |
2,922 | 92,744 | ||||||
Metrocity Bankshares, Inc. |
1,540 | 26,319 | ||||||
Metropolitan Bank Holding Corp. * |
1,043 | 35,347 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
119
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
MFA Financial, Inc. REIT |
11,551 | $114,586 | ||||||
Mid Penn Bancorp, Inc. |
1,697 | 43,460 | ||||||
Midland States Bancorp, Inc. |
2,312 | 49,523 | ||||||
MidWestOne Financial Group, Inc. |
1,545 | 37,729 | ||||||
Moelis & Co. Class A |
3,584 | 137,769 | ||||||
Mr Cooper Group, Inc. * |
7,649 | 313,380 | ||||||
MVB Financial Corp. |
1,215 | 25,078 | ||||||
National Bank Holdings Corp. Class A |
2,865 | 95,863 | ||||||
National Health Investors, Inc. REIT |
4,632 | 238,919 | ||||||
National Western Life Group, Inc. Class A |
248 | 60,170 | ||||||
Navient Corp. |
11,289 | 180,511 | ||||||
NBT Bancorp, Inc. |
4,469 | 150,650 | ||||||
Necessity Retail REIT, Inc. REIT |
14,595 | 91,657 | ||||||
Nelnet, Inc. Class A |
1,597 | 146,748 | ||||||
NETSTREIT Corp. REIT |
6,094 | 111,398 | ||||||
New York Mortgage Trust, Inc. REIT * |
10,103 | 100,626 | ||||||
Newmark Group, Inc. Class A |
13,667 | 96,762 | ||||||
Nexpoint Real Estate Finance, Inc. REIT |
898 | 14,072 | ||||||
NexPoint Residential Trust, Inc. REIT |
145 | 6,332 | ||||||
NI Holdings, Inc. * |
882 | 11,466 | ||||||
Nicolet Bankshares, Inc. * |
1,247 | 78,623 | ||||||
NMI Holdings, Inc. Class A * |
8,511 | 190,051 | ||||||
Northeast Bank |
783 | 26,356 | ||||||
Northfield Bancorp, Inc. |
4,663 | 54,930 | ||||||
Northwest Bancshares, Inc. |
12,995 | 156,330 | ||||||
OceanFirst Financial Corp. |
6,696 | 123,742 | ||||||
Office Properties Income Trust REIT |
5,235 | 64,391 | ||||||
OFG Bancorp |
4,954 | 123,553 | ||||||
Old National Bancorp |
32,608 | 470,207 | ||||||
Old Second Bancorp, Inc. |
4,626 | 65,042 | ||||||
One Liberty Properties, Inc. REIT |
1,782 | 40,861 | ||||||
Oportun Financial Corp. * |
3,586 | 13,842 | ||||||
Oppenheimer Holdings, Inc. Class A |
861 | 33,708 | ||||||
OppFi, Inc. * |
63 | 129 | ||||||
Orchid Island Capital, Inc. REIT |
4,374 | 46,933 | ||||||
Origin Bancorp, Inc. |
2,594 | 83,397 | ||||||
Orion Office REIT, Inc. REIT |
6,216 | 41,647 | ||||||
Orrstown Financial Services, Inc. |
1,041 | 20,674 | ||||||
Pacific Premier Bancorp, Inc. |
10,063 | 241,713 | ||||||
Paramount Group, Inc. REIT |
20,453 | 93,266 | ||||||
Park National Corp. |
1,580 | 187,341 | ||||||
Parke Bancorp, Inc. |
1,104 | 19,629 | ||||||
Pathward Financial, Inc. |
2,075 | 86,092 | ||||||
PCB Bancorp |
1,166 | 16,895 | ||||||
Peapack-Gladstone Financial Corp. |
2,059 | 60,988 | ||||||
Pebblebrook Hotel Trust REIT |
13,926 | 195,521 | ||||||
PennyMac Financial Services, Inc. |
2,974 | 177,280 | ||||||
PennyMac Mortgage Investment Trust REIT |
7,841 | 96,680 | ||||||
Peoples Bancorp, Inc. |
46,852 | 1,206,439 | ||||||
Peoples Financial Services Corp. |
764 | 33,119 | ||||||
Perella Weinberg Partners |
454 | 4,131 | ||||||
Physicians Realty Trust REIT |
25,083 | 374,489 | ||||||
Piedmont Office Realty Trust, Inc. Class A REIT |
14,127 | 103,127 | ||||||
Pioneer Bancorp, Inc. * |
1,373 | 13,538 | ||||||
Piper Sandler Cos. |
1,925 | 266,824 | ||||||
Plymouth Industrial REIT, Inc. REIT |
4,115 | 86,456 | ||||||
Postal Realty Trust, Inc. Class A REIT |
823 | 12,526 | ||||||
PotlatchDeltic Corp. REIT |
7,947 | 393,376 | ||||||
PRA Group, Inc. * |
4,263 | 166,086 | ||||||
Preferred Bank |
787 | 43,135 | ||||||
Premier Financial Corp. |
4,073 | 84,433 | ||||||
Primis Financial Corp. |
2,831 | 27,263 | ||||||
ProAssurance Corp. |
5,888 | 108,810 | ||||||
Provident Bancorp, Inc. |
1,742 | 11,915 | ||||||
Provident Financial Services, Inc. |
7,815 | 149,892 | ||||||
QCR Holdings, Inc. |
1,729 | 75,920 | ||||||
Radian Group, Inc. |
16,900 | 373,490 | ||||||
Radius Global Infrastructure, Inc. Class A * |
8,458 | 124,079 | ||||||
RBB Bancorp |
1,760 | 27,280 | ||||||
RE/MAX Holdings, Inc. Class A |
1,941 | 36,413 | ||||||
Ready Capital Corp. REIT |
7,816 | 79,489 | ||||||
Red River Bancshares, Inc. |
476 | 22,900 |
Shares |
Value |
|||||||
Redwood Trust, Inc. REIT |
12,371 | $ 83,381 | ||||||
Regional Management Corp. |
827 | 21,576 | ||||||
Renasant Corp. |
5,867 | 179,413 | ||||||
Republic Bancorp, Inc. Class A |
950 | 40,309 | ||||||
Republic First Bancorp, Inc. * |
6,542 | 8,897 | ||||||
Retail Opportunity Investments Corp. REIT |
13,745 | 191,880 | ||||||
RLJ Lodging Trust REIT |
18,021 | 191,023 | ||||||
RMR Group, Inc. Class A |
700 | 18,368 | ||||||
Root, Inc. Class A * |
993 | 4,478 | ||||||
RPT Realty REIT |
9,227 | 87,749 | ||||||
Ryman Hospitality Properties, Inc. REIT |
5,936 | 532,637 | ||||||
S&T Bancorp, Inc. |
4,160 | 130,832 | ||||||
Sabra Health Care REIT, Inc. |
25,567 | 294,020 | ||||||
Safety Insurance Group, Inc. |
1,506 | 112,227 | ||||||
Sandy Spring Bancorp, Inc. |
5,010 | 130,160 | ||||||
Saul Centers, Inc. REIT |
161 | 6,279 | ||||||
Sculptor Capital Management, Inc. |
1,395 | 12,011 | ||||||
Seacoast Banking Corp. of Florida |
24,996 | 592,405 | ||||||
Selective Insurance Group, Inc. |
13,739 | 1,309,739 | ||||||
Selectquote, Inc. * |
14,784 | 32,081 | ||||||
Service Properties Trust REIT |
18,087 | 180,147 | ||||||
Shore Bancshares, Inc. |
2,208 | 31,530 | ||||||
Sierra Bancorp |
1,700 | 29,274 | ||||||
Simmons First National Corp. Class A |
13,052 | 228,279 | ||||||
SiriusPoint Ltd. * (Bermuda) |
9,236 | 75,089 | ||||||
SITE Centers Corp. REIT |
21,380 | 262,546 | ||||||
Skyward Specialty Insurance Group, Inc. * |
917 | 20,055 | ||||||
SmartFinancial, Inc. |
1,877 | 43,434 | ||||||
South Plains Financial, Inc. |
1,227 | 26,270 | ||||||
Southern First Bancshares, Inc. * |
828 | 25,420 | ||||||
Southern Missouri Bancorp, Inc. |
930 | 34,791 | ||||||
Southside Bancshares, Inc. |
3,176 | 105,443 | ||||||
SouthState Corp. |
46,349 | 3,302,830 | ||||||
STAG Industrial, Inc. REIT |
50,278 | 1,700,402 | ||||||
Star Holdings * |
1,475 | 25,650 | ||||||
Stellar Bancorp, Inc. |
5,083 | 125,093 | ||||||
Sterling Bancorp, Inc. * |
1,711 | 9,684 | ||||||
Stewart Information Services Corp. |
2,930 | 118,225 | ||||||
Stock Yards Bancorp, Inc. |
491 | 27,074 | ||||||
StoneX Group, Inc. * |
1,766 | 182,834 | ||||||
Stratus Properties, Inc. |
727 | 14,540 | ||||||
Summit Financial Group, Inc. |
1,215 | 25,211 | ||||||
Summit Hotel Properties, Inc. REIT |
11,441 | 80,087 | ||||||
Sunlight Financial Holdings, Inc. * |
3,199 | 999 | ||||||
Sunstone Hotel Investors, Inc. REIT |
224,795 | 2,220,975 | ||||||
SWK Holdings Corp. * |
437 | 7,805 | ||||||
Terreno Realty Corp. REIT |
8,864 | 572,614 | ||||||
Texas Capital Bancshares, Inc. * |
5,418 | 265,265 | ||||||
Third Coast Bancshares, Inc. * |
1,246 | 19,575 | ||||||
Tiptree, Inc. |
2,705 | 39,412 | ||||||
Tompkins Financial Corp. |
1,516 | 100,374 | ||||||
Towne Bank |
7,785 | 207,470 | ||||||
TPG RE Finance Trust, Inc. REIT |
7,529 | 54,661 | ||||||
Transcontinental Realty Investors, Inc. REIT * |
82 | 3,476 | ||||||
Trean Insurance Group, Inc. * |
2,366 | 14,480 | ||||||
TriCo Bancshares |
29,111 | 1,210,726 | ||||||
Triumph Financial, Inc. * |
1,582 | 91,851 | ||||||
TrustCo Bank Corp. |
2,048 | 65,413 | ||||||
Trustmark Corp. |
6,555 | 161,908 | ||||||
Two Harbors Investment Corp. REIT |
10,673 | 157,000 | ||||||
UMB Financial Corp. |
4,849 | 279,884 | ||||||
UMH Properties, Inc. REIT |
934 | 13,814 | ||||||
United Bankshares, Inc. |
14,014 | 493,293 | ||||||
United Community Banks, Inc. |
11,410 | 320,849 | ||||||
United Fire Group, Inc. |
2,332 | 61,915 | ||||||
Uniti Group, Inc. REIT |
25,918 | 92,009 | ||||||
Unity Bancorp, Inc. |
778 | 17,746 | ||||||
Universal Insurance Holdings, Inc. |
2,313 | 42,143 | ||||||
Univest Financial Corp. |
3,337 | 79,220 | ||||||
Urban Edge Properties REIT |
13,002 | 195,810 | ||||||
Urstadt Biddle Properties, Inc. Class A REIT |
3,119 | 54,801 | ||||||
USCB Financial Holdings, Inc. * |
1,135 | 11,225 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
120
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Valley National Bancorp |
47,957 | $ 443,123 | ||||||
Velocity Financial, Inc. * |
901 | 8,136 | ||||||
Veris Residential, Inc. REIT * |
9,548 | 139,783 | ||||||
Veritex Holdings, Inc. |
4,882 | 89,145 | ||||||
Victory Capital Holdings, Inc. Class A |
1,364 | 39,924 | ||||||
Virtus Investment Partners, Inc. |
655 | 124,705 | ||||||
Walker & Dunlop, Inc. |
1,022 | 77,846 | ||||||
Washington Federal, Inc. |
6,955 | 209,485 | ||||||
Washington Trust Bancorp, Inc. |
2,013 | 69,771 | ||||||
Waterstone Financial, Inc. |
2,066 | 31,259 | ||||||
WesBanco, Inc. |
6,309 | 193,686 | ||||||
West BanCorp, Inc. |
1,421 | 25,962 | ||||||
Westamerica BanCorp |
2,134 | 94,536 | ||||||
Whitestone REIT |
5,108 | 46,994 | ||||||
World Acceptance Corp. * |
119 | 9,912 | ||||||
WSFS Financial Corp. |
58,054 | 2,183,411 | ||||||
Xenia Hotels & Resorts, Inc. REIT |
12,226 | 160,038 | ||||||
|
|
|||||||
76,040,779 | ||||||||
|
|
|||||||
Industrial - 15.8% |
| |||||||
908 Devices, Inc. * |
1,721 | 14,801 | ||||||
AAR Corp. * |
3,645 | 198,835 | ||||||
Aerojet Rocketdyne Holdings, Inc. * |
2,170 | 121,889 | ||||||
AerSale Corp. * |
2,823 | 48,612 | ||||||
Air Transport Services Group, Inc. * |
3,926 | 81,779 | ||||||
Akoustis Technologies, Inc. * |
118 | 363 | ||||||
Alamo Group, Inc. |
165 | 30,386 | ||||||
Albany International Corp. Class A |
2,769 | 247,438 | ||||||
Allied Motion Technologies, Inc. |
103 | 3,981 | ||||||
American Woodmark Corp. * |
1,703 | 88,675 | ||||||
AMMO, Inc. * |
8,916 | 17,565 | ||||||
Apogee Enterprises, Inc. |
12,359 | 534,527 | ||||||
ArcBest Corp. |
1,807 | 167,003 | ||||||
Archer Aviation, Inc. Class A * |
15,832 | 45,280 | ||||||
Arcosa, Inc. |
5,332 | 336,503 | ||||||
Ardmore Shipping Corp. (Ireland) |
4,465 | 66,395 | ||||||
Argan, Inc. |
1,399 | 56,618 | ||||||
Astec Industries, Inc. |
9,741 | 401,816 | ||||||
Astra Space, Inc. * |
18,411 | 7,825 | ||||||
Astronics Corp. * |
2,796 | 37,355 | ||||||
Atlas Technical Consultants, Inc. * |
750 | 9,143 | ||||||
Barnes Group, Inc. |
5,455 | 219,727 | ||||||
Belden, Inc. |
2,188 | 189,853 | ||||||
Benchmark Electronics, Inc. |
60,770 | 1,439,641 | ||||||
Boise Cascade Co. |
3,454 | 218,465 | ||||||
Brady Corp. Class A |
1,179 | 63,348 | ||||||
Caesarstone Ltd. |
2,163 | 8,933 | ||||||
Centrus Energy Corp. Class A * |
1,106 | 35,613 | ||||||
Chase Corp. |
619 | 64,828 | ||||||
CIRCOR International, Inc. * |
1,439 | 44,782 | ||||||
Clearwater Paper Corp. * |
1,826 | 61,025 | ||||||
Coherent Corp. * |
79,292 | 3,019,439 | ||||||
Columbus McKinnon Corp. |
40,507 | 1,505,240 | ||||||
Comtech Telecommunications Corp. |
2,826 | 35,268 | ||||||
Concrete Pumping Holdings, Inc. * |
2,786 | 18,945 | ||||||
Costamare, Inc. (Monaco) |
5,769 | 54,286 | ||||||
Covenant Logistics Group, Inc. |
1,016 | 35,987 | ||||||
CryoPort, Inc. * |
833 | 19,992 | ||||||
CTS Corp. |
1,781 | 88,088 | ||||||
DHT Holdings, Inc. |
15,084 | 163,058 | ||||||
Dorian LPG Ltd. |
3,354 | 66,879 | ||||||
Ducommun, Inc. * |
1,209 | 66,144 | ||||||
DXP Enterprises, Inc. * |
1,663 | 44,768 | ||||||
Eagle Bulk Shipping, Inc. |
1,466 | 66,703 | ||||||
Eastman Kodak Co. * |
6,242 | 25,592 | ||||||
Encore Wire Corp. |
1,948 | 361,023 | ||||||
EnerSys |
4,001 | 347,607 | ||||||
EnPro Industries, Inc. |
2,300 | 238,947 | ||||||
ESCO Technologies, Inc. |
2,583 | 246,547 | ||||||
ESS Tech, Inc. * |
1,074 | 1,493 | ||||||
Evolv Technologies Holdings, Inc. * |
9,155 | 28,564 |
Shares |
Value |
|||||||
FARO Technologies, Inc. * |
1,900 | $ 46,759 | ||||||
Fathom Digital Manufacturing C Class A * |
1,446 | 785 | ||||||
FLEX LNG Ltd. * (Norway) |
3,173 | 106,549 | ||||||
Fluor Corp. * |
1,352 | 41,790 | ||||||
Frontdoor, Inc. * |
9,120 | 254,266 | ||||||
Frontline PLC (Norway) |
13,726 | 227,303 | ||||||
GATX Corp. |
3,643 | 400,803 | ||||||
Genco Shipping & Trading Ltd. |
4,004 | 62,703 | ||||||
Gibraltar Industries, Inc. * |
3,473 | 168,440 | ||||||
Golden Ocean Group Ltd. * (Norway) |
13,542 | 128,920 | ||||||
GoPro, Inc. Class A * |
14,633 | 73,604 | ||||||
Gorman-Rupp Co. |
2,032 | 50,800 | ||||||
Granite Construction, Inc. |
4,890 | 200,881 | ||||||
Great Lakes Dredge & Dock Corp. * |
5,396 | 29,300 | ||||||
Greenbrier Cos., Inc. |
30,756 | 989,421 | ||||||
Greif, Inc. Class A |
2,372 | 150,314 | ||||||
Greif, Inc. Class B |
482 | 36,883 | ||||||
Griffon Corp. |
2,338 | 74,839 | ||||||
Harsco Corp. * |
8,578 | 58,588 | ||||||
Heartland Express, Inc. |
5,102 | 81,224 | ||||||
Heritage-Crystal Clean, Inc. * |
1,712 | 60,964 | ||||||
Hillenbrand, Inc. |
3,812 | 181,184 | ||||||
Hillman Solutions Corp. * |
14,947 | 125,854 | ||||||
Hub Group, Inc. Class A * |
3,554 | 298,323 | ||||||
Hydrofarm Holdings Group, Inc. * |
5,642 | 9,761 | ||||||
Hyster-Yale Materials Handling, Inc. |
1,184 | 59,070 | ||||||
Ichor Holdings Ltd. * |
3,064 | 100,315 | ||||||
IES Holdings, Inc. * |
305 | 13,142 | ||||||
Insteel Industries, Inc. |
2,491 | 69,300 | ||||||
International Seaways, Inc. |
5,362 | 223,488 | ||||||
Itron, Inc. * |
4,599 | 255,015 | ||||||
JELD-WEN Holding, Inc. * |
5,739 | 72,656 | ||||||
Joby Aviation, Inc. * |
2,206 | 9,574 | ||||||
Kaman Corp. |
3,061 | 69,974 | ||||||
Kennametal, Inc. |
9,027 | 248,965 | ||||||
Kimball Electronics, Inc. * |
2,618 | 63,094 | ||||||
Knowles Corp. * |
139,683 | 2,374,611 | ||||||
Kratos Defense & Security Solutions, Inc. * |
13,742 | 185,242 | ||||||
Li-Cycle Holdings Corp. * (Canada) |
9,209 | 51,847 | ||||||
Luxfer Holdings PLC (United Kingdom) |
1,720 | 29,068 | ||||||
Manitowoc Co., Inc. * |
3,790 | 64,771 | ||||||
Marten Transport Ltd. |
1,624 | 34,023 | ||||||
Masonite International Corp. * |
14,563 | 1,321,884 | ||||||
Materion Corp. |
126 | 14,616 | ||||||
Matson, Inc. |
4,135 | 246,735 | ||||||
Mirion Technologies, Inc. * |
15,135 | 129,253 | ||||||
Modine Manufacturing Co. * |
5,488 | 126,498 | ||||||
Momentus, Inc. * |
4,527 | 2,648 | ||||||
Moog, Inc. Class A |
2,626 | 264,569 | ||||||
Mueller Industries, Inc. |
3,935 | 289,144 | ||||||
National Presto Industries, Inc. |
560 | 40,370 | ||||||
NEXTracker, Inc. Class A * |
408 | 14,794 | ||||||
NL Industries, Inc. |
952 | 5,769 | ||||||
nLight, Inc. * |
4,852 | 49,393 | ||||||
Nordic American Tankers Ltd. |
22,418 | 88,775 | ||||||
Northwest Pipe Co. * |
834 | 26,046 | ||||||
NuScale Power Corp. * |
3,423 | 31,115 | ||||||
O-I Glass, Inc. * |
3,176 | 72,127 | ||||||
Olympic Steel, Inc. |
1,048 | 54,716 | ||||||
OSI Systems, Inc. * |
1,580 | 161,729 | ||||||
Pactiv Evergreen, Inc. |
4,721 | 37,768 | ||||||
Park Aerospace Corp. |
2,105 | 28,312 | ||||||
Plexus Corp. * |
438 | 42,736 | ||||||
Powell Industries, Inc. |
998 | 42,505 | ||||||
Primoris Services Corp. |
51,574 | 1,271,815 | ||||||
Proto Labs, Inc. * |
2,488 | 82,477 | ||||||
PureCycle Technologies, Inc. * |
2,285 | 15,995 | ||||||
Radiant Logistics, Inc. * |
2,816 | 18,473 | ||||||
Ranpak Holdings Corp. * |
4,843 | 25,280 | ||||||
RBC Bearings, Inc. * |
2,691 | 626,276 | ||||||
Redwire Corp. * |
1,392 | 4,218 | ||||||
Regal Rexnord Corp. |
13,980 | 1,967,405 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
121
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Ryerson Holding Corp. |
12,866 | $ 468,065 | ||||||
Safe Bulkers, Inc. (Greece) |
7,469 | 27,561 | ||||||
Saia, Inc. * |
3,584 | 975,135 | ||||||
Sanmina Corp. * |
6,279 | 382,956 | ||||||
Scorpio Tankers, Inc. (Monaco) |
5,179 | 291,629 | ||||||
Senior PLC (United Kingdom) |
126,925 | 245,822 | ||||||
SFL Corp. Ltd. (Norway) |
12,647 | 120,147 | ||||||
Sight Sciences, Inc. * |
2,143 | 18,730 | ||||||
Smith & Wesson Brands, Inc. |
4,627 | 56,958 | ||||||
SPX Technologies, Inc. * |
4,822 | 340,337 | ||||||
Standex International Corp. |
1,314 | 160,886 | ||||||
Stantec, Inc. (Canada) |
31,013 | 1,813,050 | ||||||
Sterling Infrastructure, Inc. * |
506 | 19,167 | ||||||
Stoneridge, Inc. * |
2,433 | 45,497 | ||||||
Sturm Ruger & Co., Inc. |
178 | 10,224 | ||||||
Summit Materials, Inc. Class A * |
77,694 | 2,213,502 | ||||||
Teekay Corp. * (Bermuda) |
7,534 | 46,560 | ||||||
Teekay Tankers Ltd. Class A * (Canada) |
2,497 | 107,196 | ||||||
Tennant Co. |
1,127 | 77,233 | ||||||
Terex Corp. |
3,746 | 181,231 | ||||||
Thermon Group Holdings, Inc. * |
3,617 | 90,136 | ||||||
Timken Co. |
5,199 | 424,862 | ||||||
TimkenSteel Corp. * |
4,832 | 88,619 | ||||||
Tredegar Corp. |
2,969 | 27,107 | ||||||
TriMas Corp. |
4,649 | 129,521 | ||||||
Trinity Industries, Inc. |
7,723 | 188,132 | ||||||
Triumph Group, Inc. * |
6,995 | 81,072 | ||||||
TTM Technologies, Inc. * |
11,202 | 151,115 | ||||||
Turtle Beach Corp. * |
404 | 4,048 | ||||||
Tutor Perini Corp. * |
4,593 | 28,339 | ||||||
UFP Industries, Inc. |
42,266 | 3,358,879 | ||||||
Universal Logistics Holdings, Inc. |
251 | 7,317 | ||||||
View, Inc. * |
15,507 | 7,754 | ||||||
Vishay Intertechnology, Inc. |
14,279 | 322,991 | ||||||
Vishay Precision Group, Inc. * |
1,357 | 56,668 | ||||||
Werner Enterprises, Inc. |
6,154 | 279,945 | ||||||
Worthington Industries, Inc. |
3,479 | 224,917 | ||||||
Zurn Elkay Water Solutions Corp. |
24,349 | 520,095 | ||||||
|
|
|||||||
39,778,831 | ||||||||
|
|
|||||||
Technology - 6.0% |
| |||||||
3D Systems Corp. * |
14,179 | 151,999 | ||||||
ACI Worldwide, Inc. * |
180,858 | 4,879,549 | ||||||
ACM Research, Inc. Class A * |
4,534 | 53,048 | ||||||
ACV Auctions, Inc. Class A * |
6,576 | 84,896 | ||||||
Adeia, Inc. |
11,522 | 102,085 | ||||||
Alpha & Omega Semiconductor Ltd. * |
483 | 13,017 | ||||||
American Software, Inc. Class A |
975 | 12,295 | ||||||
Amkor Technology, Inc. |
8,924 | 232,202 | ||||||
Avid Technology, Inc. * |
1,413 | 45,188 | ||||||
AvidXchange Holdings, Inc. * |
1,621 | 12,644 | ||||||
AXT, Inc. * |
4,161 | 16,561 | ||||||
Bandwidth, Inc. Class A * |
2,049 | 31,145 | ||||||
Blackbaud, Inc. * |
268 | 18,572 | ||||||
Blend Labs, Inc. Class A * |
20,672 | 20,593 | ||||||
Brightcove, Inc. * |
1,489 | 6,626 | ||||||
C3.ai, Inc. Class A * |
5,361 | 179,969 | ||||||
Cantaloupe, Inc. * |
2,498 | 14,239 | ||||||
Cardlytics, Inc. * |
3,708 | 12,589 | ||||||
Cerence, Inc. * |
4,494 | 126,236 | ||||||
Cohu, Inc. * |
54,718 | 2,100,624 | ||||||
Computer Programs & Systems, Inc. * |
1,531 | 46,236 | ||||||
Conduent, Inc. * |
18,540 | 63,592 | ||||||
Consensus Cloud Solutions, Inc. * |
1,072 | 36,544 | ||||||
Corsair Gaming, Inc. * |
1,944 | 35,672 | ||||||
Cvent Holding Corp. * |
5,013 | 41,909 | ||||||
Daily Journal Corp. * |
132 | 37,615 | ||||||
Desktop Metal, Inc. Class A * |
29,275 | 67,332 | ||||||
Diebold Nixdorf, Inc. * |
2,260 | 2,712 | ||||||
Digi International, Inc. * |
2,510 | 84,537 | ||||||
Digimarc Corp. * |
96 | 1,886 |
Shares |
Value |
|||||||
Diodes, Inc. * |
1,287 | $ 119,382 | ||||||
Donnelley Financial Solutions, Inc. * |
2,637 | 107,748 | ||||||
E2open Parent Holdings, Inc. * |
22,280 | 129,670 | ||||||
Ebix, Inc. |
2,268 | 29,915 | ||||||
eGain Corp. * |
1,396 | 10,596 | ||||||
EverCommerce, Inc. * |
2,269 | 24,006 | ||||||
Faraday Future Intelligent Electric, Inc. * |
28,056 | 9,935 | ||||||
Fastly, Inc. Class A * |
12,549 | 222,870 | ||||||
ForgeRock, Inc. Class A * |
1,345 | 27,707 | ||||||
Health Catalyst, Inc. * |
5,990 | 69,903 | ||||||
Impinj, Inc. * |
216 | 29,272 | ||||||
Insight Enterprises, Inc. * |
538 | 76,912 | ||||||
Inspired Entertainment, Inc. * |
892 | 11,409 | ||||||
Instructure Holdings, Inc. * |
1,625 | 42,087 | ||||||
Integral Ad Science Holding Corp. * |
2,819 | 40,227 | ||||||
IonQ, Inc. * |
11,407 | 70,153 | ||||||
Kaleyra, Inc. * (Italy) |
1,013 | 1,671 | ||||||
Latch, Inc. * |
8,948 | 6,819 | ||||||
LiveVox Holdings, Inc. * |
1,828 | 5,649 | ||||||
Markforged Holding Corp. * |
9,299 | 8,916 | ||||||
Matterport, Inc. * |
6,636 | 18,116 | ||||||
Maximus, Inc. |
370 | 29,119 | ||||||
MicroStrategy, Inc. Class A * |
438 | 128,036 | ||||||
Mitek Systems, Inc. * |
275 | 2,637 | ||||||
N-Able, Inc. * |
877 | 11,576 | ||||||
NetScout Systems, Inc. * |
64,818 | 1,857,036 | ||||||
NextGen Healthcare, Inc. * |
3,103 | 54,023 | ||||||
Olo, Inc. Class A * |
9,820 | 80,131 | ||||||
ON24, Inc. * |
4,622 | 40,489 | ||||||
OneSpan, Inc. * |
2,796 | 48,930 | ||||||
Onto Innovation, Inc. * |
19,972 | 1,755,139 | ||||||
Ouster, Inc. * |
30,534 | 25,548 | ||||||
Outbrain, Inc. * |
4,166 | 17,206 | ||||||
PAR Technology Corp. * |
1,810 | 61,468 | ||||||
Parsons Corp. * |
3,734 | 167,059 | ||||||
Pear Therapeutics, Inc. * |
5,232 | 1,334 | ||||||
Photronics, Inc. * |
1,787 | 29,628 | ||||||
Phreesia, Inc. * |
2,893 | 93,415 | ||||||
Playstudios, Inc. * |
4,122 | 15,210 | ||||||
Porch Group, Inc. * |
7,954 | 11,374 | ||||||
PowerSchool Holdings, Inc. Class A * |
3,252 | 64,455 | ||||||
PROS Holdings, Inc. * |
1,599 | 43,813 | ||||||
PubMatic, Inc. Class A * |
573 | 7,919 | ||||||
Rackspace Technology, Inc. * |
5,957 | 11,199 | ||||||
Rambus, Inc. * |
1,948 | 99,854 | ||||||
Rigetti Computing, Inc. Class A * |
9,322 | 6,744 | ||||||
Sapiens International Corp. NV (Israel) |
962 | 20,895 | ||||||
SecureWorks Corp. Class A * |
1,266 | 10,850 | ||||||
Sharecare, Inc. * |
32,554 | 46,227 | ||||||
Skillsoft Corp. * |
8,492 | 16,984 | ||||||
Skillz, Inc. * |
32,696 | 19,395 | ||||||
SolarWinds Corp. * |
5,273 | 45,348 | ||||||
Sumo Logic, Inc. * |
4,507 | 53,994 | ||||||
Ultra Clean Holdings, Inc. * |
3,322 | 110,157 | ||||||
Unisys Corp. * |
1,994 | 7,737 | ||||||
Upland Software, Inc. * |
2,969 | 12,767 | ||||||
Veeco Instruments, Inc. * |
1,244 | 26,286 | ||||||
Veradigm, Inc. * |
11,864 | 154,825 | ||||||
Verint Systems, Inc. * |
637 | 23,722 | ||||||
Vuzix Corp. * |
1,145 | 4,740 | ||||||
Xerox Holdings Corp. |
12,729 | 196,027 | ||||||
|
|
|||||||
15,008,371 | ||||||||
|
|
|||||||
Utilities - 3.5% |
| |||||||
ALLETE, Inc. |
6,322 | 406,947 | ||||||
Altus Power, Inc. * |
6,731 | 36,886 | ||||||
American States Water Co. |
2,130 | 189,336 | ||||||
Artesian Resources Corp. Class A |
298 | 16,497 | ||||||
Avista Corp. |
7,919 | 336,162 | ||||||
Black Hills Corp. |
27,496 | 1,734,998 | ||||||
California Water Service Group |
4,422 | 257,360 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
122
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Chesapeake Utilities Corp. |
808 | $ 103,416 | ||||||
IDACORP, Inc. |
13,888 | 1,504,487 | ||||||
MGE Energy, Inc. |
2,306 | 179,107 | ||||||
New Jersey Resources Corp. |
9,750 | 518,700 | ||||||
Northwest Natural Holding Co. |
3,865 | 183,819 | ||||||
NorthWestern Corp. |
6,399 | 370,246 | ||||||
ONE Gas, Inc. |
5,939 | 470,547 | ||||||
Ormat Technologies, Inc. |
2,554 | 216,503 | ||||||
Otter Tail Corp. |
2,510 | 181,398 | ||||||
PNM Resources, Inc. |
9,385 | 456,862 | ||||||
Portland General Electric Co. |
9,887 | 483,375 | ||||||
SJW Group |
2,983 | 227,096 | ||||||
Southwest Gas Holdings, Inc. * |
6,727 | 420,101 | ||||||
Spire, Inc. |
5,611 | 393,556 | ||||||
Unitil Corp. |
1,750 | 99,820 | ||||||
Via Renewables, Inc. * |
46 | 845 | ||||||
|
|
|||||||
8,788,064 | ||||||||
|
|
|||||||
Total Common Stocks |
246,165,819 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENTS - 2.1% |
| |||||||
Repurchase Agreement - 1.0% |
| |||||||
Fixed Income Clearing Corp. |
$2,565,580 | 2,565,580 | ||||||
|
|
|||||||
U.S. Government Agency Issue - 1.1% |
| |||||||
Federal Home Loan Bank |
2,735,000 | 2,735,000 | ||||||
|
|
|||||||
Total Short-Term Investments |
5,300,580 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.9% |
251,466,801 | |||||||
|
|
|||||||
DERIVATIVES - 0.0% |
34,539 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.1% |
|
193,554 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$251,694,894 | |||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $391 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
123
PACIFIC SELECT FUND
SMALL-CAP EQUITY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||||
Micro Russell 2000 E-Mini Index |
06/23 | 222 | $1,978,446 | $2,012,985 | $34,539 | |||||||||||||||
|
|
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Rights |
|||||||||||||||||
Basic Materials |
$11 | $11 | $- | $- | ||||||||||||||
Consumer, Non-Cyclical |
391 | - | - | 391 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Rights |
402 | 11 | - | 391 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Common Stocks |
||||||||||||||||||
Basic Materials |
15,922,451 | 15,922,451 | - | - | ||||||||||||||
Communications |
4,322,476 | 4,322,476 | - | - | ||||||||||||||
Consumer, Cyclical |
32,048,692 | 30,958,760 | 1,089,932 | - | ||||||||||||||
Consumer, Non-Cyclical |
37,779,152 | 33,123,155 | 4,655,997 | - | ||||||||||||||
Energy |
16,477,003 | 16,477,003 | - | - | ||||||||||||||
Financial |
76,040,779 | 76,040,779 | - | - | ||||||||||||||
Industrial |
39,778,831 | 39,778,831 | - | - | ||||||||||||||
Technology |
15,008,371 | 15,008,371 | - | - | ||||||||||||||
Utilities |
8,788,064 | 8,788,064 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
246,165,819 | 240,419,890 | 5,745,929 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investments |
5,300,580 | - | 5,300,580 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
34,539 | 34,539 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$251,501,340 | $240,454,440 | $11,046,509 | $391 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
124
PACIFIC SELECT FUND
SMALL-CAP GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
WARRANTS - 0.0% |
| |||||||
Consumer, Non-Cyclical - 0.0% |
| |||||||
Optinose, Inc. Exercise @ $2.57 Exp 11/23/27 * |
73,697 | $- | ||||||
|
|
|||||||
Total Warrants |
- | |||||||
|
|
|||||||
COMMON STOCKS - 94.6% |
| |||||||
Basic Materials - 5.5% |
| |||||||
Axalta Coating Systems Ltd. * |
192,802 | 5,839,973 | ||||||
Element Solutions, Inc. |
269,334 | 5,200,840 | ||||||
Ingevity Corp. * |
62,468 | 4,467,711 | ||||||
|
|
|||||||
15,508,524 | ||||||||
|
|
|||||||
Communications - 1.6% |
| |||||||
Q2 Holdings, Inc. * |
91,191 | 2,245,122 | ||||||
Vivid Seats, Inc. Class A * |
293,784 | 2,241,572 | ||||||
|
|
|||||||
4,486,694 | ||||||||
|
|
|||||||
Consumer, Cyclical - 14.4% |
| |||||||
Brunswick Corp. |
51,101 | 4,190,282 | ||||||
Five Below, Inc. * |
14,396 | 2,965,144 | ||||||
Funko, Inc. Class A * |
113,114 | 1,066,665 | ||||||
Genius Sports Ltd. * (United Kingdom) |
371,462 | 1,849,881 | ||||||
Leslies, Inc. * |
112,064 | 1,233,825 | ||||||
Manchester United PLC Class A (United Kingdom) |
53,141 | 1,177,073 | ||||||
Methode Electronics, Inc. |
78,324 | 3,436,857 | ||||||
Ollies Bargain Outlet Holdings, Inc. * |
84,472 | 4,894,308 | ||||||
On Holding AG Class A * (Switzerland) |
77,541 | 2,406,097 | ||||||
Penn Entertainment, Inc. * |
172,086 | 5,104,071 | ||||||
Petco Health & Wellness Co., Inc. * |
256,128 | 2,305,152 | ||||||
Skechers USA, Inc. Class A * |
97,014 | 4,610,105 | ||||||
Univar Solutions, Inc. * |
50,403 | 1,765,617 | ||||||
Visteon Corp. * |
24,056 | 3,772,702 | ||||||
|
|
|||||||
40,777,779 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 24.2% |
| |||||||
Abcam PLC ADR * (United Kingdom) |
226,530 | 3,049,094 | ||||||
Adaptive Biotechnologies Corp. * |
120,478 | 1,063,821 | ||||||
Allovir, Inc. * |
67,907 | 267,554 | ||||||
Annexon, Inc. * |
64,988 | 250,204 | ||||||
BioAtla, Inc. * |
43,207 | 115,795 | ||||||
Bioxcel Therapeutics, Inc. * |
28,724 | 535,990 | ||||||
Boyd Group Services, Inc. (Canada) |
16,823 | 2,689,190 | ||||||
Bright Horizons Family Solutions, Inc. * |
36,558 | 2,814,600 | ||||||
Bruker Corp. |
50,147 | 3,953,589 | ||||||
Certara, Inc. * |
85,984 | 2,073,074 | ||||||
Collegium Pharmaceutical, Inc. * |
53,078 | 1,273,341 | ||||||
Duckhorn Portfolio, Inc. * |
197,293 | 3,136,959 | ||||||
Envista Holdings Corp. * |
139,510 | 5,703,169 | ||||||
European Wax Center, Inc. Class A |
153,787 | 2,921,953 | ||||||
Harmony Biosciences Holdings, Inc. * |
32,116 | 1,048,587 | ||||||
HealthEquity, Inc. * |
56,973 | 3,344,885 | ||||||
Immunocore Holdings PLC ADR * (United Kingdom) |
29,249 | 1,446,071 | ||||||
Kymera Therapeutics, Inc. * |
26,283 | 778,765 | ||||||
Legend Biotech Corp. ADR * |
24,878 | 1,199,617 | ||||||
Lyell Immunopharma, Inc. * |
85,941 | 202,821 | ||||||
Maravai LifeSciences Holdings, Inc. Class A * |
85,673 | 1,200,279 | ||||||
MaxCyte, Inc. * |
154,563 | 765,087 | ||||||
Neurocrine Biosciences, Inc. * |
13,184 | 1,334,484 | ||||||
Nuvei Corp. * ~ (Canada) |
80,720 | 3,513,338 | ||||||
Oatly Group AB ADR * |
307,730 | 744,707 |
Shares |
Value |
|||||||
Optinose, Inc. * |
238,386 | $ 460,085 | ||||||
Oxford Nanopore Technologies PLC * (United Kingdom) |
272,219 | 746,353 | ||||||
Paylocity Holding Corp. * |
9,057 | 1,800,350 | ||||||
Payoneer Global, Inc. * |
387,458 | 2,433,236 | ||||||
Prelude Therapeutics, Inc. * |
41,703 | 237,707 | ||||||
PROCEPT BioRobotics Corp. * |
42,224 | 1,199,162 | ||||||
Remitly Global, Inc. * |
130,149 | 2,206,025 | ||||||
Ritchie Bros Auctioneers, Inc. (Canada) |
86,485 | 4,868,241 | ||||||
Sabre Corp. * |
443,724 | 1,903,576 | ||||||
Sana Biotechnology, Inc. * |
66,462 | 217,331 | ||||||
Shockwave Medical, Inc. * |
11,649 | 2,525,853 | ||||||
Silk Road Medical, Inc. * |
35,471 | 1,387,980 | ||||||
SpringWorks Therapeutics, Inc. * |
37,841 | 974,027 | ||||||
TriNet Group, Inc. * |
26,274 | 2,117,947 | ||||||
|
|
|||||||
68,504,847 | ||||||||
|
|
|||||||
Energy - 5.7% |
| |||||||
ChampionX Corp. |
239,597 | 6,500,267 | ||||||
Magnolia Oil & Gas Corp. Class A |
129,925 | 2,842,759 | ||||||
Matador Resources Co. |
85,404 | 4,069,500 | ||||||
Permian Resources Corp. |
278,538 | 2,924,649 | ||||||
|
|
|||||||
16,337,175 | ||||||||
|
|
|||||||
Financial - 5.1% |
| |||||||
First Interstate BancSystem, Inc. Class A |
10,385 | 310,096 | ||||||
GCM Grosvenor, Inc. Class A |
260,777 | 2,036,669 | ||||||
Hamilton Lane, Inc. Class A |
41,444 | 3,066,027 | ||||||
Pacific Premier Bancorp, Inc. |
15,994 | 384,176 | ||||||
STAG Industrial, Inc. REIT |
135,005 | 4,565,869 | ||||||
WisdomTree, Inc. |
682,936 | 4,002,005 | ||||||
|
|
|||||||
14,364,842 | ||||||||
|
|
|||||||
Industrial - 17.1% |
| |||||||
Advanced Energy Industries, Inc. |
36,351 | 3,562,398 | ||||||
AeroVironment, Inc. * |
16,437 | 1,506,615 | ||||||
AZEK Co., Inc. * |
85,459 | 2,011,705 | ||||||
Cactus, Inc. Class A |
96,405 | 3,974,778 | ||||||
Crane Co. * |
5,840 | 435,664 | ||||||
CryoPort, Inc. * |
65,477 | 1,571,448 | ||||||
Gerresheimer AG (Germany) |
38,081 | 3,775,961 | ||||||
GFL Environmental, Inc. (Canada) |
213,251 | 7,344,365 | ||||||
Jacobs Solutions, Inc. |
44,427 | 5,220,617 | ||||||
Knight-Swift Transportation Holdings, Inc. |
73,841 | 4,177,924 | ||||||
Kratos Defense & Security Solutions, Inc. * |
79,132 | 1,066,699 | ||||||
Littelfuse, Inc. |
12,164 | 3,261,047 | ||||||
NEXTracker, Inc. Class A * |
22,355 | 810,592 | ||||||
Saia, Inc. * |
6,455 | 1,756,276 | ||||||
Sensata Technologies Holding PLC |
134,627 | 6,734,043 | ||||||
Trex Co., Inc. * |
26,854 | 1,306,984 | ||||||
|
|
|||||||
48,517,116 | ||||||||
|
|
|||||||
Technology - 21.0% |
| |||||||
ACV Auctions, Inc. Class A * |
169,423 | 2,187,251 | ||||||
Alkami Technology, Inc. * |
171,230 | 2,167,772 | ||||||
Allegro MicroSystems, Inc. * (Japan) |
30,703 | 1,473,437 | ||||||
CACI International, Inc. Class A * |
9,200 | 2,725,776 | ||||||
Corsair Gaming, Inc. * |
68,645 | 1,259,636 | ||||||
Definitive Healthcare Corp. * |
156,109 | 1,612,606 | ||||||
DoubleVerify Holdings, Inc. * |
104,506 | 3,150,856 | ||||||
ExlService Holdings, Inc. * |
36,393 | 5,889,479 | ||||||
Five9, Inc. * |
51,331 | 3,710,718 | ||||||
FormFactor, Inc. * |
61,840 | 1,969,604 | ||||||
KBR, Inc. |
64,270 | 3,538,064 | ||||||
Keywords Studios PLC (Ireland) |
94,308 | 3,208,610 | ||||||
Kinaxis, Inc. * (Canada) |
19,302 | 2,650,151 | ||||||
nCino, Inc. * |
56,680 | 1,404,530 | ||||||
Outset Medical, Inc. * |
40,476 | 744,758 | ||||||
Paycor HCM, Inc. * |
132,095 | 3,503,159 | ||||||
Procore Technologies, Inc. * |
46,084 | 2,886,241 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
125
PACIFIC SELECT FUND
SMALL-CAP GROWTH PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Rapid7, Inc. * |
53,984 | $ 2,478,405 | ||||||
TaskUS, Inc. Class A * (Philippines) |
171,797 | 2,480,749 | ||||||
Thoughtworks Holding, Inc. * |
439,968 | 3,238,165 | ||||||
WNS Holdings Ltd. ADR * (India) |
78,490 | 7,312,913 | ||||||
|
|
|||||||
59,592,880 | ||||||||
|
|
|||||||
Total Common Stocks |
268,089,857 | |||||||
|
|
|||||||
Principal Amount |
||||||||
SHORT-TERM INVESTMENT - 5.0% |
| |||||||
Repurchase Agreement - 5.0% |
| |||||||
Fixed Income Clearing Corp. |
$14,067,400 | 14,067,400 | ||||||
|
|
|||||||
Total Short-Term Investment |
14,067,400 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.6% |
282,157,257 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.4% |
|
1,112,807 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$283,270,064 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
|||||||||||||||||
Basic Materials |
$15,508,524 | $15,508,524 | $- | $- | ||||||||||||||
Communications |
4,486,694 | 4,486,694 | - | - | ||||||||||||||
Consumer, Cyclical |
40,777,779 | 40,777,779 | - | - | ||||||||||||||
Consumer, Non-Cyclical |
68,504,847 | 67,758,494 | 746,353 | - | ||||||||||||||
Energy |
16,337,175 | 16,337,175 | - | - | ||||||||||||||
Financial |
14,364,842 | 14,364,842 | - | - | ||||||||||||||
Industrial |
48,517,116 | 44,741,155 | 3,775,961 | - | ||||||||||||||
Technology |
59,592,880 | 59,592,880 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
268,089,857 | 263,567,543 | 4,522,314 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment |
14,067,400 | - | 14,067,400 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$282,157,257 | $263,567,543 | $18,589,714 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
126
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
RIGHTS - 0.0% |
| |||||||
Basic Materials - 0.0% |
| |||||||
PolyMet Mining Corp. Exp 04/10/23 * |
8,226 | $22 | ||||||
|
|
|||||||
Consumer, Non-Cyclical - 0.0% |
| |||||||
Contra Aduro Biotechnologies, Inc. - |
3,861 | 9,803 | ||||||
Gtx, Inc. - Contingent Value Rights * W ± |
216 | 222 | ||||||
OmniAb, Inc. |
1,693 | - | ||||||
OmniAb, Inc. |
1,693 | - | ||||||
|
|
|||||||
10,025 | ||||||||
|
|
|||||||
Total Rights |
10,047 | |||||||
|
|
|||||||
COMMON STOCKS - 98.9% |
| |||||||
Basic Materials - 3.7% |
| |||||||
5E Advanced Materials, Inc. * |
11,337 | 61,447 | ||||||
AdvanSix, Inc. |
7,074 | 270,722 | ||||||
American Vanguard Corp. |
7,396 | 161,824 | ||||||
Amyris, Inc. * |
54,589 | 74,241 | ||||||
Arconic Corp. * |
27,424 | 719,331 | ||||||
ATI, Inc. * |
33,873 | 1,336,629 | ||||||
Avient Corp. |
24,735 | 1,018,093 | ||||||
AZZ, Inc. |
6,648 | 274,163 | ||||||
Balchem Corp. |
8,719 | 1,102,779 | ||||||
Cabot Corp. |
15,209 | 1,165,618 | ||||||
Carpenter Technology Corp. |
12,919 | 578,254 | ||||||
Century Aluminum Co. * |
14,853 | 148,530 | ||||||
Codexis, Inc. * |
17,304 | 71,639 | ||||||
Coeur Mining, Inc. * |
75,756 | 302,266 | ||||||
Commercial Metals Co. |
31,893 | 1,559,568 | ||||||
Compass Minerals International, Inc. |
9,080 | 311,353 | ||||||
Constellium SE * |
33,968 | 519,031 | ||||||
Dakota Gold Corp. * |
12,680 | 45,902 | ||||||
Danimer Scientific, Inc. * |
25,743 | 88,813 | ||||||
Diversey Holdings Ltd. * |
21,973 | 177,762 | ||||||
Ecovyst, Inc. * |
22,149 | 244,746 | ||||||
Energy Fuels, Inc. * |
44,174 | 246,491 | ||||||
Glatfelter Corp. |
12,856 | 41,011 | ||||||
Hawkins, Inc. |
5,475 | 239,695 | ||||||
Haynes International, Inc. |
3,199 | 160,238 | ||||||
HB Fuller Co. |
14,551 | 996,016 | ||||||
Hecla Mining Co. |
149,959 | 949,240 | ||||||
Hycroft Mining Holding Corp. * |
39,779 | 17,200 | ||||||
Ingevity Corp. * |
10,140 | 725,213 | ||||||
Innospec, Inc. |
6,774 | 695,487 | ||||||
Intrepid Potash, Inc. * |
3,035 | 83,766 | ||||||
Ivanhoe Electric, Inc. * |
12,224 | 148,522 | ||||||
Kaiser Aluminum Corp. |
4,444 | 331,656 | ||||||
Koppers Holdings, Inc. |
5,257 | 183,837 | ||||||
Kronos Worldwide, Inc. |
6,400 | 58,944 | ||||||
Lightwave Logic, Inc. * |
31,166 | 162,998 | ||||||
Livent Corp. * |
44,118 | 958,243 | ||||||
Mativ Holdings, Inc. |
15,234 | 327,074 | ||||||
Minerals Technologies, Inc. |
8,683 | 524,627 | ||||||
Novagold Resources, Inc. * (Canada) |
63,984 | 397,980 | ||||||
Origin Materials, Inc. * |
29,507 | 125,995 | ||||||
Orion Engineered Carbons SA (Germany) |
16,097 | 419,971 | ||||||
Perimeter Solutions SA * |
31,411 | 253,801 | ||||||
Piedmont Lithium, Inc. * |
4,870 | 292,443 | ||||||
PolyMet Mining Corp. * (Canada) |
8,226 | 17,686 |
Shares |
Value |
|||||||
Quaker Chemical Corp. |
3,673 | $ 727,070 | ||||||
Rayonier Advanced Materials, Inc. * |
17,403 | 109,117 | ||||||
Rogers Corp. * |
5,105 | 834,310 | ||||||
Schnitzer Steel Industries, Inc. Class A |
6,696 | 208,246 | ||||||
Sensient Technologies Corp. |
11,411 | 873,626 | ||||||
Stepan Co. |
5,722 | 589,538 | ||||||
Sylvamo Corp. |
9,314 | 430,866 | ||||||
Terawulf, Inc. * |
5,805 | 5,444 | ||||||
Trinseo PLC |
9,800 | 204,330 | ||||||
Tronox Holdings PLC |
31,498 | 452,941 | ||||||
Unifi, Inc. * |
4,126 | 33,709 | ||||||
Ur-Energy, Inc. * |
56,830 | 60,240 | ||||||
Uranium Energy Corp. * |
99,024 | 285,189 | ||||||
US Lime & Minerals, Inc. |
588 | 89,782 | ||||||
Valhi, Inc. |
693 | 12,065 | ||||||
|
|
|||||||
23,507,318 | ||||||||
|
|
|||||||
Communications - 4.0% |
| |||||||
1-800-Flowers.com, Inc. Class A * |
7,662 | 88,113 | ||||||
1stdibs.com, Inc. * |
7,333 | 29,112 | ||||||
A10 Networks, Inc. |
17,707 | 274,281 | ||||||
AdTheorent Holding Co., Inc. * |
7,672 | 12,966 | ||||||
ADTRAN Holdings, Inc. |
21,613 | 342,782 | ||||||
Advantage Solutions, Inc. * |
21,768 | 34,393 | ||||||
aka Brands Holding Corp. * |
4,330 | 2,359 | ||||||
Allbirds, Inc. Class A * |
26,001 | 31,201 | ||||||
AMC Networks, Inc. Class A * |
8,364 | 147,039 | ||||||
Anterix, Inc. * |
4,929 | 162,854 | ||||||
Arena Group Holdings, Inc. * |
2,835 | 12,049 | ||||||
ATN International, Inc. |
3,134 | 128,243 | ||||||
Audacy, Inc. * |
35,074 | 4,724 | ||||||
Aviat Networks, Inc. * |
1,902 | 65,543 | ||||||
BARK, Inc. * |
31,852 | 46,185 | ||||||
Blade Air Mobility, Inc. * |
15,595 | 52,711 | ||||||
Boston Omaha Corp. Class A * |
6,130 | 145,097 | ||||||
Bumble, Inc. Class A * |
27,153 | 530,841 | ||||||
Calix, Inc. * |
15,659 | 839,166 | ||||||
Cambium Networks Corp. * |
3,080 | 54,578 | ||||||
Cargurus, Inc. * |
27,513 | 513,943 | ||||||
CarParts.com, Inc. * |
13,897 | 74,210 | ||||||
Cars.com, Inc. * |
17,745 | 342,479 | ||||||
Casa Systems, Inc. * |
9,884 | 12,553 | ||||||
Clear Channel Outdoor Holdings, Inc. * |
103,484 | 124,181 | ||||||
Clearfield, Inc. * |
3,285 | 153,015 | ||||||
Cogent Communications Holdings, Inc. |
11,546 | 735,711 | ||||||
CommScope Holding Co., Inc. * |
57,266 | 364,784 | ||||||
Consolidated Communications Holdings, Inc. * |
20,547 | 53,011 | ||||||
ContextLogic, Inc. Class A * |
159,275 | 71,005 | ||||||
Couchbase, Inc. * |
7,320 | 102,919 | ||||||
Credo Technology Group Holding Ltd. * |
26,620 | 250,760 | ||||||
Cumulus Media, Inc. Class A * |
4,944 | 18,243 | ||||||
Cyxtera Technologies, Inc. * |
10,853 | 3,315 | ||||||
DHI Group, Inc. * |
10,800 | 41,904 | ||||||
DigitalBridge Group, Inc. |
42,346 | 507,729 | ||||||
DZS, Inc. * |
4,476 | 35,316 | ||||||
EchoStar Corp. Class A * |
9,658 | 176,645 | ||||||
Edgio, Inc. * |
37,379 | 29,571 | ||||||
Entravision Communications Corp. Class A |
16,640 | 100,672 | ||||||
ePlus, Inc. * |
7,206 | 353,382 | ||||||
Eventbrite, Inc. Class A * |
21,386 | 183,492 | ||||||
EverQuote, Inc. Class A * |
5,385 | 74,852 | ||||||
EW Scripps Co. Class A * |
16,290 | 153,289 | ||||||
Extreme Networks, Inc. * |
34,451 | 658,703 | ||||||
Figs, Inc. Class A * |
35,864 | 221,998 | ||||||
Focus Universal, Inc. * |
7,047 | 17,618 | ||||||
fuboTV, Inc. * |
50,486 | 61,088 | ||||||
Gambling.com Group Ltd. * (Malta) |
2,447 | 24,250 | ||||||
Gannett Co., Inc. * |
39,559 | 73,975 | ||||||
Globalstar, Inc. * |
193,182 | 224,091 | ||||||
Gogo, Inc. * |
14,075 | 204,088 | ||||||
Gray Television, Inc. |
21,108 | 184,062 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
127
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Groupon, Inc. * |
6,292 | $26,489 | ||||||
Harmonic, Inc. * |
25,672 | 374,554 | ||||||
HealthStream, Inc. * |
6,408 | 173,657 | ||||||
Hims & Hers Health, Inc. * |
33,818 | 335,475 | ||||||
IDT Corp. Class B * |
4,166 | 141,977 | ||||||
iHeartMedia, Inc. Class A * |
33,172 | 129,371 | ||||||
Infinera Corp. * |
53,103 | 412,079 | ||||||
Innovid Corp. * (Israel) |
19,669 | 27,733 | ||||||
Inseego Corp. * |
25,524 | 14,865 | ||||||
Inspirato, Inc. * |
4,144 | 3,974 | ||||||
InterDigital, Inc. |
8,068 | 588,157 | ||||||
Iridium Communications, Inc. |
33,981 | 2,104,443 | ||||||
KORE Group Holdings, Inc. * |
8,836 | 10,780 | ||||||
Lands End, Inc. * |
4,088 | 39,735 | ||||||
Liberty Latin America Ltd. Class A * |
11,686 | 97,111 | ||||||
Liberty Latin America Ltd. Class C * |
39,329 | 324,858 | ||||||
Liquidity Services, Inc. * |
6,539 | 86,119 | ||||||
Lulus Fashion Lounge Holdings, Inc. * |
3,942 | 9,382 | ||||||
Magnite, Inc. * |
36,913 | 341,814 | ||||||
Marqeta, Inc. Class A * |
116,715 | 533,388 | ||||||
Maxar Technologies, Inc. |
20,018 | 1,022,119 | ||||||
MediaAlpha, Inc. Class A * |
6,134 | 91,887 | ||||||
Nerdy, Inc. * |
14,499 | 60,606 | ||||||
NETGEAR, Inc. * |
8,143 | 150,727 | ||||||
Ondas Holdings, Inc. * |
9,265 | 10,006 | ||||||
Ooma, Inc. * |
5,971 | 74,697 | ||||||
Open Lending Corp. Class A * |
29,640 | 208,666 | ||||||
OptimizeRx Corp. * |
5,051 | 73,896 | ||||||
Overstock.com, Inc. * |
11,975 | 242,733 | ||||||
Perficient, Inc. * |
9,464 | 683,206 | ||||||
Planet Labs PBC * |
51,866 | 203,833 | ||||||
Preformed Line Products Co. |
730 | 93,469 | ||||||
Q2 Holdings, Inc. * |
15,543 | 382,669 | ||||||
QuinStreet, Inc. * |
13,401 | 212,674 | ||||||
Quotient Technology, Inc. * |
24,701 | 81,019 | ||||||
RealReal, Inc. * |
22,405 | 28,230 | ||||||
Revolve Group, Inc. * |
11,485 | 302,056 | ||||||
Ribbon Communications, Inc. * |
19,880 | 67,990 | ||||||
Rover Group, Inc. * |
25,790 | 116,829 | ||||||
RumbleON, Inc. Class B * |
2,841 | 17,216 | ||||||
Scholastic Corp. |
8,091 | 276,874 | ||||||
Shenandoah Telecommunications Co. |
12,773 | 242,942 | ||||||
Shutterstock, Inc. |
6,464 | 469,286 | ||||||
Sinclair Broadcast Group, Inc. Class A |
11,424 | 196,036 | ||||||
Solo Brands, Inc. Class A * |
5,125 | 36,798 | ||||||
Squarespace, Inc. Class A * |
8,193 | 260,292 | ||||||
Stagwell, Inc. * |
19,853 | 147,309 | ||||||
Stitch Fix, Inc. Class A * |
23,149 | 118,291 | ||||||
TechTarget, Inc. * |
7,641 | 275,993 | ||||||
TEGNA, Inc. |
60,062 | 1,015,648 | ||||||
Telephone & Data Systems, Inc. |
26,743 | 281,069 | ||||||
Terran Orbital Corp. * |
6,280 | 11,555 | ||||||
Thryv Holdings, Inc. * |
6,865 | 158,307 | ||||||
TrueCar, Inc. * |
21,676 | 49,855 | ||||||
Tucows, Inc. Class A * |
2,783 | 54,129 | ||||||
Upwork, Inc. * |
33,741 | 381,948 | ||||||
Urban One, Inc. * |
5,120 | 38,656 | ||||||
US Cellular Corp. * |
4,356 | 90,300 | ||||||
Vacasa, Inc. Class A * |
30,329 | 29,183 | ||||||
Value Line, Inc. |
334 | 16,142 | ||||||
Viavi Solutions, Inc. * |
60,790 | 658,356 | ||||||
Vivid Seats, Inc. Class A * |
6,633 | 50,610 | ||||||
WideOpenWest, Inc. * |
15,069 | 160,183 | ||||||
Yelp, Inc. * |
18,257 | 560,490 | ||||||
Ziff Davis, Inc. * |
12,400 | 967,820 | ||||||
|
|
|||||||
25,599,652 | ||||||||
|
|
|||||||
Consumer, Cyclical - 12.2% |
| |||||||
A-Mark Precious Metals, Inc. |
4,974 | 172,349 | ||||||
Abercrombie & Fitch Co. Class A * |
13,117 | 363,997 | ||||||
Academy Sports & Outdoors, Inc. |
20,717 | 1,351,784 |
Shares |
Value |
|||||||
Accel Entertainment, Inc. * |
16,191 | $147,500 | ||||||
Acushnet Holdings Corp. |
9,067 | 461,873 | ||||||
Adient PLC * |
25,850 | 1,058,816 | ||||||
Aeva Technologies, Inc. * |
30,039 | 35,746 | ||||||
Allegiant Travel Co. * |
4,301 | 395,606 | ||||||
Americas Car-Mart, Inc. * |
1,705 | 135,053 | ||||||
American Axle & Manufacturing Holdings, Inc. * |
31,386 | 245,125 | ||||||
American Eagle Outfitters, Inc. |
41,456 | 557,169 | ||||||
Arko Corp. |
23,938 | 203,234 | ||||||
Asbury Automotive Group, Inc. * |
6,020 | 1,264,200 | ||||||
Aspen Aerogels, Inc. * |
13,003 | 96,872 | ||||||
Aterian, Inc. * |
20,441 | 17,581 | ||||||
Ballys Corp. * |
9,143 | 178,471 | ||||||
Beacon Roofing Supply, Inc. * |
13,937 | 820,192 | ||||||
Beazer Homes USA, Inc. * |
8,418 | 133,678 | ||||||
Bed Bath & Beyond, Inc. * |
22,187 | 9,483 | ||||||
Big 5 Sporting Goods Corp. |
5,932 | 45,617 | ||||||
Big Lots, Inc. |
7,651 | 83,855 | ||||||
Biglari Holdings, Inc. Class B * |
230 | 38,916 | ||||||
BJs Restaurants, Inc. * |
6,392 | 186,263 | ||||||
Bloomin Brands, Inc. |
23,639 | 606,340 | ||||||
Blue Bird Corp. * |
5,026 | 102,681 | ||||||
Bluegreen Vacations Holding Corp. |
2,658 | 72,776 | ||||||
BlueLinx Holdings, Inc. * |
2,289 | 155,560 | ||||||
Boot Barn Holdings, Inc. * |
7,996 | 612,813 | ||||||
Bowlero Corp. * |
8,239 | 139,651 | ||||||
Brinker International, Inc. * |
11,930 | 453,340 | ||||||
Buckle, Inc. |
7,959 | 284,057 | ||||||
Build-A-Bear Workshop, Inc. |
3,742 | 86,964 | ||||||
Caleres, Inc. |
9,093 | 196,682 | ||||||
Camping World Holdings, Inc. Class A |
10,500 | 219,135 | ||||||
Canoo, Inc. * |
70,824 | 46,220 | ||||||
Cato Corp. Class A |
5,395 | 47,692 | ||||||
Cavco Industries, Inc. * |
2,375 | 754,632 | ||||||
Cenntro Electric Group Ltd. * (Australia) |
50,498 | 23,320 | ||||||
Century Casinos, Inc. * |
7,401 | 54,249 | ||||||
Century Communities, Inc. |
7,755 | 495,700 | ||||||
Cepton, Inc. * |
9,852 | 4,575 | ||||||
Cheesecake Factory, Inc. |
12,932 | 453,267 | ||||||
Chicos FAS, Inc. * |
34,362 | 188,991 | ||||||
Childrens Place, Inc. * |
3,065 | 123,366 | ||||||
Chuys Holdings, Inc. * |
4,772 | 171,076 | ||||||
Cinemark Holdings, Inc. * |
29,278 | 433,022 | ||||||
Citi Trends, Inc. * |
2,540 | 48,311 | ||||||
Clarus Corp. |
6,816 | 64,411 | ||||||
Clean Energy Fuels Corp. * |
47,494 | 207,074 | ||||||
CompX International, Inc. |
719 | 13,000 | ||||||
Conns, Inc. * |
3,860 | 23,392 | ||||||
Container Store Group, Inc. * |
9,489 | 32,547 | ||||||
Cracker Barrel Old Country Store, Inc. |
5,996 | 681,146 | ||||||
Crocs, Inc. * |
16,527 | 2,089,674 | ||||||
Dana, Inc. |
34,666 | 521,723 | ||||||
Dave & Busters Entertainment, Inc. * |
11,540 | 424,557 | ||||||
Dennys Corp. * |
14,657 | 163,572 | ||||||
Designer Brands, Inc. Class A |
12,684 | 110,858 | ||||||
Destination XL Group, Inc. * |
15,629 | 86,116 | ||||||
Dillards, Inc. Class A |
1,085 | 333,833 | ||||||
Dine Brands Global, Inc. |
3,904 | 264,067 | ||||||
Dorman Products, Inc. * |
7,162 | 617,794 | ||||||
Douglas Dynamics, Inc. |
5,789 | 184,611 | ||||||
Dream Finders Homes, Inc. Class A * |
5,778 | 76,558 | ||||||
Duluth Holdings, Inc. Class B * |
3,374 | 21,526 | ||||||
El Pollo Loco Holdings, Inc. |
5,169 | 49,571 | ||||||
Ermenegildo Zegna NV (Italy) |
16,402 | 223,723 | ||||||
Ethan Allen Interiors, Inc. |
6,270 | 172,174 | ||||||
Everi Holdings, Inc. * |
23,005 | 394,536 | ||||||
EVgo, Inc. * |
19,124 | 148,976 | ||||||
Express, Inc. * |
17,437 | 13,746 | ||||||
F45 Training Holdings, Inc. * |
9,115 | 10,573 | ||||||
First Watch Restaurant Group, Inc. * |
4,458 | 71,595 | ||||||
FirstCash, Inc. |
10,283 | 980,690 | ||||||
Fisker, Inc. * |
46,993 | 288,537 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
128
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
Foot Locker, Inc. |
21,834 | $866,591 | ||||||
Forestar Group, Inc. * |
4,745 | 73,832 | ||||||
Fossil Group, Inc. * |
14,174 | 45,357 | ||||||
Fox Factory Holding Corp. * |
11,567 | 1,403,887 | ||||||
Franchise Group, Inc. |
7,091 | 193,230 | ||||||
Frontier Group Holdings, Inc. * |
9,921 | 97,623 | ||||||
Full House Resorts, Inc. * |
9,322 | 67,398 | ||||||
Funko, Inc. Class A * |
9,070 | 85,530 | ||||||
G-III Apparel Group Ltd. * |
12,267 | 190,752 | ||||||
Genesco, Inc. * |
3,464 | 127,752 | ||||||
Gentherm, Inc. * |
9,006 | 544,143 | ||||||
Global Industrial Co. |
3,607 | 96,812 | ||||||
GMS, Inc. * |
11,290 | 653,578 | ||||||
Golden Entertainment, Inc. * |
5,662 | 246,354 | ||||||
Goodyear Tire & Rubber Co. * |
76,126 | 838,909 | ||||||
Green Brick Partners, Inc. * |
7,518 | 263,581 | ||||||
Group 1 Automotive, Inc. |
3,823 | 865,604 | ||||||
GrowGeneration Corp. * |
17,333 | 59,279 | ||||||
Guess?, Inc. |
8,388 | 163,230 | ||||||
H&E Equipment Services, Inc. |
8,812 | 389,755 | ||||||
Haverty Furniture Cos., Inc. |
4,206 | 134,213 | ||||||
Hawaiian Holdings, Inc. * |
14,373 | 131,657 | ||||||
Hibbett, Inc. |
3,533 | 208,376 | ||||||
Hilton Grand Vacations, Inc. * |
23,357 | 1,037,752 | ||||||
HNI Corp. |
11,569 | 322,081 | ||||||
Holley, Inc. * |
13,491 | 36,965 | ||||||
Hovnanian Enterprises, Inc. Class A * |
1,458 | 98,911 | ||||||
Hudson Technologies, Inc. * |
11,587 | 101,155 | ||||||
Hyliion Holdings Corp. * |
35,612 | 70,512 | ||||||
Hyzon Motors, Inc. * |
24,594 | 20,047 | ||||||
IMAX Corp. * |
12,581 | 241,304 | ||||||
indie Semiconductor, Inc. Class A * (China) |
28,191 | 297,415 | ||||||
Installed Building Products, Inc. |
6,476 | 738,458 | ||||||
Interface, Inc. |
16,564 | 134,500 | ||||||
International Game Technology PLC |
26,623 | 713,496 | ||||||
iRobot Corp. * |
7,514 | 327,911 | ||||||
Jack in the Box, Inc. |
5,609 | 491,292 | ||||||
JOANN, Inc. |
3,306 | 5,257 | ||||||
Johnson Outdoors, Inc. Class A |
1,483 | 93,444 | ||||||
KAR Auction Services, Inc. * |
30,134 | 412,233 | ||||||
KB Home |
20,384 | 819,029 | ||||||
Kimball International, Inc. Class B |
9,443 | 117,093 | ||||||
Kontoor Brands, Inc. |
15,124 | 731,850 | ||||||
Kura Sushi USA, Inc. Class A * |
1,269 | 83,551 | ||||||
La-Z-Boy, Inc. |
11,979 | 348,349 | ||||||
Landsea Homes Corp. * |
3,087 | 18,707 | ||||||
LCI Industries |
6,732 | 739,645 | ||||||
LGI Homes, Inc. * |
5,501 | 627,279 | ||||||
Liberty Media Corp. - Liberty Braves Class A * |
2,808 | 97,101 | ||||||
Liberty Media Corp. - Liberty Braves Class C * |
10,412 | 350,780 | ||||||
Life Time Group Holdings, Inc. * |
11,059 | 176,502 | ||||||
Lifetime Brands, Inc. |
4,323 | 25,419 | ||||||
Light & Wonder, Inc. * |
25,699 | 1,543,225 | ||||||
Lightning eMotors, Inc. * |
10,854 | 3,110 | ||||||
Lindblad Expeditions Holdings, Inc. * |
9,393 | 89,797 | ||||||
Lions Gate Entertainment Corp. Class A * |
15,888 | 175,880 | ||||||
Lions Gate Entertainment Corp. Class B * |
32,936 | 341,876 | ||||||
LL Flooring Holdings, Inc. * |
8,145 | 30,951 | ||||||
Lordstown Motors Corp. Class A * |
44,120 | 29,256 | ||||||
Lovesac Co. * |
3,639 | 105,167 | ||||||
Luminar Technologies, Inc. * |
68,175 | 442,456 | ||||||
M/I Homes, Inc. * |
6,933 | 437,403 | ||||||
Madison Square Garden Entertainment Corp. * |
7,019 | 414,612 | ||||||
Malibu Boats, Inc. Class A * |
5,379 | 303,645 | ||||||
Marcus Corp. |
6,988 | 111,808 | ||||||
Marine Products Corp. |
2,063 | 27,211 | ||||||
MarineMax, Inc. * |
5,854 | 168,302 | ||||||
MasterCraft Boat Holdings, Inc. * |
4,460 | 135,718 | ||||||
MDC Holdings, Inc. |
15,938 | 619,510 | ||||||
Meritage Homes Corp. |
9,922 | 1,158,493 | ||||||
Methode Electronics, Inc. |
9,523 | 417,869 | ||||||
Microvast Holdings, Inc. * |
47,733 | 59,189 |
|
|
|||||||
Miller Industries, Inc. |
3,086 | $109,090 | ||||||
MillerKnoll, Inc. |
20,364 | 416,444 | ||||||
Monarch Casino & Resort, Inc. |
3,702 | 274,503 | ||||||
Motorcar Parts of America, Inc. * |
5,348 | 39,789 | ||||||
Movado Group, Inc. |
3,883 | 111,714 | ||||||
MRC Global, Inc. * |
23,331 | 226,777 | ||||||
Mullen Automotive, Inc. * |
250,732 | 32,921 | ||||||
Murphy USA, Inc. |
5,483 | 1,414,888 | ||||||
National Vision Holdings, Inc. * |
20,998 | 395,602 | ||||||
NEOGAMES SA * (Israel) |
3,469 | 52,729 | ||||||
Nikola Corp. * |
94,040 | 113,788 | ||||||
Noodles & Co. * |
11,028 | 53,486 | ||||||
Nu Skin Enterprises, Inc. Class A |
13,162 | 517,398 | ||||||
ODP Corp. * |
11,100 | 499,278 | ||||||
ONE Group Hospitality, Inc. * |
5,568 | 45,101 | ||||||
OneSpaWorld Holdings Ltd. * (Bahamas) |
17,677 | 211,947 | ||||||
OneWater Marine, Inc. Class A * |
3,002 | 83,966 | ||||||
Oxford Industries, Inc. |
4,055 | 428,167 | ||||||
Papa Johns International, Inc. |
8,882 | 665,528 | ||||||
Patrick Industries, Inc. |
5,943 | 408,938 | ||||||
PC Connection, Inc. |
3,267 | 146,884 | ||||||
PetMed Express, Inc. |
5,625 | 91,350 | ||||||
PLBY Group, Inc. * |
13,213 | 26,162 | ||||||
Portillos, Inc. Class A * |
8,808 | 188,227 | ||||||
PriceSmart, Inc. |
6,894 | 492,783 | ||||||
Proterra, Inc. * |
61,591 | 93,618 | ||||||
Purple Innovation, Inc. * |
16,412 | 43,328 | ||||||
Qurate Retail, Inc. * |
97,221 | 96,035 | ||||||
RCI Hospitality Holdings, Inc. |
2,406 | 188,077 | ||||||
Red Rock Resorts, Inc. Class A |
13,712 | 611,144 | ||||||
Reservoir Media, Inc. * |
5,058 | 32,978 | ||||||
Resideo Technologies, Inc. * |
39,132 | 715,333 | ||||||
REV Group, Inc. |
9,824 | 117,790 | ||||||
Rite Aid Corp. * |
15,300 | 34,272 | ||||||
Rocky Brands, Inc. |
1,966 | 45,356 | ||||||
Rush Enterprises, Inc. Class A |
11,240 | 613,704 | ||||||
Rush Enterprises, Inc. Class B |
1,946 | 116,546 | ||||||
Rush Street Interactive, Inc. * |
15,494 | 48,186 | ||||||
Ruths Hospitality Group, Inc. |
8,175 | 134,233 | ||||||
Sally Beauty Holdings, Inc. * |
28,605 | 445,666 | ||||||
ScanSource, Inc. * |
7,177 | 218,468 | ||||||
SeaWorld Entertainment, Inc. * |
10,827 | 663,803 | ||||||
Shake Shack, Inc. Class A * |
10,146 | 563,002 | ||||||
Shoe Carnival, Inc. |
5,032 | 129,071 | ||||||
Shyft Group, Inc. |
9,179 | 208,822 | ||||||
Signet Jewelers Ltd. (NYSE) |
12,106 | 941,605 | ||||||
Skyline Champion Corp. * |
14,537 | 1,093,618 | ||||||
SkyWest, Inc. * |
13,945 | 309,161 | ||||||
Sleep Number Corp. * |
6,003 | 182,551 | ||||||
Snap One Holdings Corp. * |
4,391 | 41,056 | ||||||
Solid Power, Inc. * |
35,749 | 107,604 | ||||||
Sonder Holdings, Inc. * |
50,599 | 38,308 | ||||||
Sonic Automotive, Inc. Class A |
5,018 | 272,678 | ||||||
Sonos, Inc. * |
34,594 | 678,734 | ||||||
Sovos Brands, Inc. * |
10,066 | 167,901 | ||||||
Spirit Airlines, Inc. |
29,354 | 504,008 | ||||||
Sportsmans Warehouse Holdings, Inc. * |
10,339 | 87,675 | ||||||
Standard Motor Products, Inc. |
5,668 | 209,206 | ||||||
Steelcase, Inc. Class A |
22,684 | 190,999 | ||||||
Steven Madden Ltd. |
20,726 | 746,136 | ||||||
Sun Country Airlines Holdings, Inc. * |
9,156 | 187,698 | ||||||
Superior Group of Cos., Inc. |
3,312 | 26,065 | ||||||
Sweetgreen, Inc. Class A * |
24,234 | 189,995 | ||||||
Taylor Morrison Home Corp. * |
28,712 | 1,098,521 | ||||||
Texas Roadhouse, Inc. |
18,439 | 1,992,518 | ||||||
ThredUp, Inc. Class A * |
16,754 | 42,388 | ||||||
Tile Shop Holdings, Inc. * |
8,920 | 41,835 | ||||||
Tillys, Inc. Class A * |
6,305 | 48,612 | ||||||
Titan International, Inc. * |
14,386 | 150,765 | ||||||
Titan Machinery, Inc. * |
5,393 | 164,217 | ||||||
Topgolf Callaway Brands Corp. * |
37,834 | 817,971 | ||||||
Torrid Holdings, Inc. * |
3,599 | 15,692 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
129
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
Traeger, Inc. * |
8,369 | $34,397 | ||||||
TravelCenters of America, Inc. * |
3,340 | 288,910 | ||||||
Tri Pointe Homes, Inc. * |
27,141 | 687,210 | ||||||
Tupperware Brands Corp. * |
12,501 | 31,252 | ||||||
TuSimple Holdings, Inc. Class A * |
39,510 | 58,080 | ||||||
UniFirst Corp. |
4,072 | 717,609 | ||||||
Universal Electronics, Inc. * |
3,466 | 35,145 | ||||||
Urban Outfitters, Inc. * |
17,046 | 472,515 | ||||||
Veritiv Corp. |
3,636 | 491,369 | ||||||
Vinco Ventures, Inc. * |
61,050 | 19,615 | ||||||
Virgin Galactic Holdings, Inc. * |
64,893 | 262,817 | ||||||
Vista Outdoor, Inc. * |
15,438 | 427,787 | ||||||
Visteon Corp. * |
7,614 | 1,194,104 | ||||||
Vizio Holding Corp. Class A * |
18,753 | 172,153 | ||||||
VSE Corp. |
3,009 | 135,104 | ||||||
Wabash National Corp. |
12,847 | 315,908 | ||||||
Warby Parker, Inc. Class A * |
23,590 | 249,818 | ||||||
Weyco Group, Inc. |
1,051 | 26,590 | ||||||
Wheels Up Experience, Inc. * |
43,696 | 27,651 | ||||||
Wingstop, Inc. |
8,168 | 1,499,481 | ||||||
Winmark Corp. |
737 | 236,157 | ||||||
Winnebago Industries, Inc. |
7,966 | 459,638 | ||||||
Wolverine World Wide, Inc. |
20,648 | 352,048 | ||||||
Workhorse Group, Inc. * |
43,667 | 58,077 | ||||||
World Fuel Services Corp. |
16,885 | 431,412 | ||||||
Xos, Inc. * |
14,811 | 7,776 | ||||||
XPEL, Inc. * |
5,966 | 405,390 | ||||||
Xperi, Inc. * |
11,152 | 121,891 | ||||||
Xponential Fitness, Inc. Class A * |
5,719 | 173,800 | ||||||
Zumiez, Inc. * |
4,234 | 78,075 | ||||||
|
|
|||||||
77,675,527 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 23.3% |
| |||||||
22nd Century Group, Inc. * |
45,815 | 35,232 | ||||||
23andMe Holding Co. Class A * |
71,199 | 162,334 | ||||||
2seventy bio, Inc. * |
10,518 | 107,284 | ||||||
2U, Inc. * |
20,622 | 141,261 | ||||||
4D Molecular Therapeutics, Inc. * |
7,686 | 132,122 | ||||||
Aadi Bioscience, Inc. * |
4,054 | 29,351 | ||||||
Aarons Co., Inc. |
8,577 | 82,854 | ||||||
AbCellera Biologics, Inc. * (Canada) |
55,760 | 420,430 | ||||||
ABM Industries, Inc. |
17,969 | 807,527 | ||||||
Absci Corp. * |
15,969 | 27,946 | ||||||
ACADIA Pharmaceuticals, Inc. * |
32,550 | 612,591 | ||||||
ACCO Brands Corp. |
26,556 | 141,278 | ||||||
Accolade, Inc. * |
17,948 | 258,092 | ||||||
Aclaris Therapeutics, Inc. * |
17,799 | 143,994 | ||||||
Acrivon Therapeutics, Inc. * |
2,037 | 25,850 | ||||||
AdaptHealth Corp. * |
20,246 | 251,658 | ||||||
Adaptive Biotechnologies Corp. * |
31,382 | 277,103 | ||||||
Addus HomeCare Corp. * |
4,101 | 437,823 | ||||||
Adicet Bio, Inc. * |
8,114 | 46,737 | ||||||
ADMA Biologics, Inc. * |
57,137 | 189,123 | ||||||
Adtalem Global Education, Inc. * |
12,073 | 466,259 | ||||||
Aerovate Therapeutics, Inc. * |
2,841 | 57,303 | ||||||
Affimed NV * (Germany) |
42,961 | 32,032 | ||||||
Agenus, Inc. * |
85,439 | 129,867 | ||||||
Agiliti, Inc. * |
8,056 | 128,735 | ||||||
Agios Pharmaceuticals, Inc. * |
15,244 | 350,155 | ||||||
AirSculpt Technologies, Inc. |
2,943 | 14,833 | ||||||
Akero Therapeutics, Inc. * |
9,312 | 356,277 | ||||||
Akoya Biosciences, Inc. * |
4,926 | 40,295 | ||||||
Alarm.com Holdings, Inc. * |
12,995 | 653,389 | ||||||
Alector, Inc. * |
16,790 | 103,930 | ||||||
Alico, Inc. |
1,937 | 46,875 | ||||||
Alight, Inc. Class A * |
105,103 | 967,999 | ||||||
Alkermes PLC * |
44,239 | 1,247,097 | ||||||
Allogene Therapeutics, Inc. * |
22,463 | 110,967 | ||||||
Allovir, Inc. * |
8,823 | 34,763 | ||||||
Alpha Teknova, Inc. * |
1,963 | 5,810 | ||||||
Alphatec Holdings, Inc. * |
20,325 | 317,070 |
|
|
|||||||
Alpine Immune Sciences, Inc. * |
6,438 | $49,701 | ||||||
Alta Equipment Group, Inc. |
6,047 | 95,845 | ||||||
ALX Oncology Holdings, Inc. * |
5,781 | 26,130 | ||||||
American Public Education, Inc. * |
5,787 | 31,366 | ||||||
American Well Corp. Class A * |
64,449 | 152,100 | ||||||
Amicus Therapeutics, Inc. * |
74,909 | 830,741 | ||||||
AMN Healthcare Services, Inc. * |
11,731 | 973,204 | ||||||
Amneal Pharmaceuticals, Inc. * |
26,987 | 37,512 | ||||||
Amphastar Pharmaceuticals, Inc. * |
10,639 | 398,963 | ||||||
Amylyx Pharmaceuticals, Inc. * |
13,509 | 396,354 | ||||||
AN2 Therapeutics, Inc. * |
3,055 | 30,153 | ||||||
AnaptysBio, Inc. * |
5,435 | 118,266 | ||||||
Anavex Life Sciences Corp. * |
19,000 | 162,830 | ||||||
Andersons, Inc. |
8,942 | 369,483 | ||||||
AngioDynamics, Inc. * |
10,544 | 109,025 | ||||||
ANI Pharmaceuticals, Inc. * |
3,417 | 135,723 | ||||||
Anika Therapeutics, Inc. * |
4,185 | 120,193 | ||||||
Apellis Pharmaceuticals, Inc. * |
25,516 | 1,683,035 | ||||||
API Group Corp. * |
56,452 | 1,269,041 | ||||||
AppHarvest, Inc. * |
19,667 | 12,042 | ||||||
Arbutus Biopharma Corp. * |
30,997 | 93,921 | ||||||
Arcellx, Inc. * |
8,109 | 249,838 | ||||||
Arcturus Therapeutics Holdings, Inc. * |
6,511 | 156,069 | ||||||
Arcus Biosciences, Inc. * |
14,448 | 263,532 | ||||||
Arcutis Biotherapeutics, Inc. * |
11,295 | 124,245 | ||||||
Arlo Technologies, Inc. * |
23,889 | 144,767 | ||||||
Arrowhead Pharmaceuticals, Inc. * |
27,834 | 706,984 | ||||||
Artivion, Inc. * |
10,719 | 140,419 | ||||||
Arvinas, Inc. * |
12,948 | 353,739 | ||||||
ASGN, Inc. * |
13,400 | 1,107,778 | ||||||
Atara Biotherapeutics, Inc. * |
25,754 | 74,687 | ||||||
Atea Pharmaceuticals, Inc. * |
21,675 | 72,611 | ||||||
Athira Pharma, Inc. * |
9,189 | 22,973 | ||||||
ATI Physical Therapy, Inc. * |
20,309 | 5,163 | ||||||
AtriCure, Inc. * |
12,155 | 503,825 | ||||||
Atrion Corp. |
361 | 226,676 | ||||||
Aura Biosciences, Inc. * |
5,132 | 47,625 | ||||||
Aurinia Pharmaceuticals, Inc. * (Canada) |
35,782 | 392,171 | ||||||
Avanos Medical, Inc. * |
12,690 | 377,401 | ||||||
Aveanna Healthcare Holdings, Inc. * |
10,995 | 11,435 | ||||||
Avid Bioservices, Inc. * |
16,291 | 305,619 | ||||||
Avidity Biosciences, Inc. * |
17,593 | 270,053 | ||||||
Axogen, Inc. * |
11,451 | 108,212 | ||||||
Axonics, Inc. * |
13,269 | 723,957 | ||||||
Axsome Therapeutics, Inc. * |
8,658 | 534,025 | ||||||
B&G Foods, Inc. |
19,827 | 307,913 | ||||||
Babylon Holdings Ltd. Class A * (United Kingdom) |
1,198 | 6,098 | ||||||
Bakkt Holdings, Inc. * |
18,181 | 31,271 | ||||||
Barrett Business Services, Inc. |
1,784 | 158,134 | ||||||
Beachbody Co., Inc. * |
28,413 | 13,701 | ||||||
Beam Therapeutics, Inc. * |
17,129 | 524,490 | ||||||
Beauty Health Co. * |
23,615 | 298,257 | ||||||
BellRing Brands, Inc. * |
36,221 | 1,231,514 | ||||||
Benson Hill, Inc. * |
48,043 | 55,249 | ||||||
Beyond Meat, Inc. * |
16,288 | 264,354 | ||||||
BioCryst Pharmaceuticals, Inc. * |
49,915 | 416,291 | ||||||
Biohaven Ltd. * |
17,620 | 240,689 | ||||||
BioLife Solutions, Inc. * |
9,481 | 206,212 | ||||||
Bionano Genomics, Inc. * |
80,145 | 88,961 | ||||||
Bioventus, Inc. Class A * |
8,317 | 8,899 | ||||||
Bioxcel Therapeutics, Inc. * |
5,161 | 96,304 | ||||||
Bird Global, Inc. Class A * |
60,073 | 16,814 | ||||||
Bluebird Bio, Inc. * |
27,489 | 87,415 | ||||||
Blueprint Medicines Corp. * |
16,176 | 727,758 | ||||||
Boxed, Inc. * |
13,108 | 2,488 | ||||||
BRC, Inc. Class A * |
7,203 | 37,023 | ||||||
Bridgebio Pharma, Inc. * |
28,273 | 468,766 | ||||||
Bright Health Group, Inc. * |
55,031 | 12,123 | ||||||
BrightView Holdings, Inc. * |
11,545 | 64,883 | ||||||
Brinks Co. |
12,291 | 821,039 | ||||||
Brookdale Senior Living, Inc. * |
52,734 | 155,565 | ||||||
Butterfly Network, Inc. * |
36,805 | 69,193 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
130
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
C4 Therapeutics, Inc. * |
11,659 | $36,609 | ||||||
Cal-Maine Foods, Inc. |
10,220 | 622,296 | ||||||
Calavo Growers, Inc. |
4,921 | 141,577 | ||||||
Cano Health, Inc. * |
45,716 | 41,602 | ||||||
Cara Therapeutics, Inc. * |
12,408 | 60,923 | ||||||
Cardiovascular Systems, Inc. * |
11,196 | 222,353 | ||||||
CareDx, Inc. * |
14,543 | 132,923 | ||||||
CareMax, Inc. * |
16,387 | 43,753 | ||||||
Caribou Biosciences, Inc. * |
15,527 | 82,448 | ||||||
Carriage Services, Inc. |
3,507 | 107,034 | ||||||
Cass Information Systems, Inc. |
3,612 | 156,436 | ||||||
Cassava Sciences, Inc. * |
10,696 | 257,988 | ||||||
Castle Biosciences, Inc. * |
6,778 | 153,996 | ||||||
Catalyst Pharmaceuticals, Inc. * |
26,621 | 441,376 | ||||||
CBIZ, Inc. * |
12,645 | 625,801 | ||||||
Celldex Therapeutics, Inc. * |
12,414 | 446,656 | ||||||
Celsius Holdings, Inc. * |
15,138 | 1,406,926 | ||||||
Celularity, Inc. * |
17,012 | 10,542 | ||||||
Central Garden & Pet Co. * |
2,832 | 116,282 | ||||||
Central Garden & Pet Co. Class A * |
10,573 | 413,087 | ||||||
Century Therapeutics, Inc. * |
6,092 | 21,139 | ||||||
Cerevel Therapeutics Holdings, Inc. * |
15,380 | 375,118 | ||||||
Cerus Corp. * |
48,351 | 143,602 | ||||||
Chefs Warehouse, Inc. * |
9,399 | 320,036 | ||||||
Chegg, Inc. * |
33,630 | 548,169 | ||||||
Chimerix, Inc. * |
20,798 | 26,205 | ||||||
Chinook Therapeutics, Inc. * |
13,721 | 317,641 | ||||||
Cimpress PLC * (Ireland) |
5,011 | 219,582 | ||||||
Cipher Mining, Inc. * |
9,514 | 22,168 | ||||||
Clover Health Investments Corp. * |
108,000 | 91,271 | ||||||
Coca-Cola Consolidated, Inc. |
1,279 | 684,367 | ||||||
Cogent Biosciences, Inc. * |
17,731 | 191,317 | ||||||
Coherus Biosciences, Inc. * |
20,406 | 139,577 | ||||||
Collegium Pharmaceutical, Inc. * |
8,932 | 214,279 | ||||||
Community Health Systems, Inc. * |
35,405 | 173,485 | ||||||
CompoSecure, Inc. * |
2,192 | 16,133 | ||||||
CONMED Corp. |
7,804 | 810,523 | ||||||
Corcept Therapeutics, Inc. * |
23,807 | 515,660 | ||||||
CoreCivic, Inc. * |
30,586 | 281,391 | ||||||
CorVel Corp. * |
2,363 | 449,632 | ||||||
Coursera, Inc. * |
30,398 | 350,185 | ||||||
CRA International, Inc. |
1,840 | 198,389 | ||||||
Crinetics Pharmaceuticals, Inc. * |
14,790 | 237,527 | ||||||
Cross Country Healthcare, Inc. * |
9,393 | 209,652 | ||||||
CTI BioPharma Corp. * |
27,760 | 116,592 | ||||||
Cue Health, Inc. * |
30,023 | 54,642 | ||||||
Cullinan Oncology, Inc. * |
6,382 | 65,288 | ||||||
Custom Truck One Source, Inc. * |
15,744 | 106,902 | ||||||
Cutera, Inc. * |
4,734 | 111,817 | ||||||
Cytek Biosciences, Inc. * |
32,059 | 294,622 | ||||||
Cytokinetics, Inc. * |
22,308 | 785,019 | ||||||
Day One Biopharmaceuticals, Inc. * |
7,650 | 102,281 | ||||||
Deciphera Pharmaceuticals, Inc. * |
13,903 | 214,801 | ||||||
Deluxe Corp. |
12,001 | 192,016 | ||||||
Denali Therapeutics, Inc. * |
29,391 | 677,169 | ||||||
Design Therapeutics, Inc. * |
9,609 | 55,444 | ||||||
DICE Therapeutics, Inc. * |
9,889 | 283,320 | ||||||
Distribution Solutions Group, Inc. * |
1,438 | 65,371 | ||||||
DocGo, Inc. * |
22,021 | 190,482 | ||||||
Duckhorn Portfolio, Inc. * |
11,347 | 180,417 | ||||||
Dynavax Technologies Corp. * |
33,229 | 325,976 | ||||||
Dyne Therapeutics, Inc. * |
8,556 | 98,565 | ||||||
Eagle Pharmaceuticals, Inc. * |
2,602 | 73,819 | ||||||
Edgewell Personal Care Co. |
13,942 | 591,420 | ||||||
Edgewise Therapeutics, Inc. * |
10,824 | 72,196 | ||||||
Editas Medicine, Inc. * |
19,439 | 140,933 | ||||||
Eiger BioPharmaceuticals, Inc. * |
11,283 | 10,120 | ||||||
elf Beauty, Inc. * |
13,403 | 1,103,737 | ||||||
Embecta Corp. |
15,577 | 438,025 | ||||||
Emergent BioSolutions, Inc. * |
14,083 | 145,900 | ||||||
Enanta Pharmaceuticals, Inc. * |
5,538 | 223,957 | ||||||
Ennis, Inc. |
7,255 | 153,008 |
|
|
|||||||
Enochian Biosciences, Inc. * |
10,109 | $9,251 | ||||||
Ensign Group, Inc. |
14,587 | 1,393,642 | ||||||
EQRx, Inc. * |
55,481 | 107,633 | ||||||
Erasca, Inc. * |
18,358 | 55,258 | ||||||
Esperion Therapeutics, Inc. * |
21,875 | 34,781 | ||||||
European Wax Center, Inc. Class A |
6,551 | 124,469 | ||||||
EVERTEC, Inc. |
16,799 | 566,966 | ||||||
Evolus, Inc. * |
9,829 | 83,153 | ||||||
EyePoint Pharmaceuticals, Inc. * |
6,947 | 20,424 | ||||||
Fate Therapeutics, Inc. * |
23,469 | 133,773 | ||||||
FibroGen, Inc. * |
23,700 | 442,242 | ||||||
First Advantage Corp. * |
16,191 | 226,026 | ||||||
Flywire Corp. * |
15,560 | 456,842 | ||||||
Foghorn Therapeutics, Inc. * |
5,573 | 34,553 | ||||||
Forrester Research, Inc. * |
3,244 | 104,943 | ||||||
Franklin Covey Co. * |
3,488 | 134,183 | ||||||
Fresh Del Monte Produce, Inc. |
8,388 | 252,563 | ||||||
Fresh Market, Inc. * W ± |
19,545 | - | ||||||
Fulcrum Therapeutics, Inc. * |
12,662 | 36,087 | ||||||
Fulgent Genetics, Inc. * |
5,932 | 185,197 | ||||||
GeneDx Holdings Corp. * |
45,292 | 16,532 | ||||||
Generation Bio Co. * |
13,156 | 56,571 | ||||||
GEO Group, Inc. * |
33,214 | 262,058 | ||||||
Geron Corp. * |
115,270 | 250,136 | ||||||
Glaukos Corp. * |
12,302 | 616,330 | ||||||
Gossamer Bio, Inc. * |
17,807 | 22,437 | ||||||
Graham Holdings Co. Class B |
996 | 593,457 | ||||||
Green Dot Corp. Class A * |
13,260 | 227,807 | ||||||
Greenidge Generation Holdings, Inc. * |
2,593 | 1,172 | ||||||
GreenLight Biosciences Holdings PBC * |
17,504 | 7,569 | ||||||
Hackett Group, Inc. |
5,844 | 107,997 | ||||||
Haemonetics Corp. * |
13,646 | 1,129,206 | ||||||
Hain Celestial Group, Inc. * |
24,981 | 428,424 | ||||||
Halozyme Therapeutics, Inc. * |
36,199 | 1,382,440 | ||||||
Harmony Biosciences Holdings, Inc. * |
6,943 | 226,689 | ||||||
Healthcare Services Group, Inc. |
20,771 | 288,094 | ||||||
HealthEquity, Inc. * |
22,640 | 1,329,194 | ||||||
Heidrick & Struggles International, Inc. |
5,551 | 168,528 | ||||||
Helen of Troy Ltd. * |
6,422 | 611,182 | ||||||
Herbalife Nutrition Ltd. * |
26,401 | 425,056 | ||||||
Herc Holdings, Inc. |
6,818 | 776,570 | ||||||
Heron Therapeutics, Inc. * |
28,366 | 42,833 | ||||||
Heska Corp. * |
2,537 | 247,662 | ||||||
HF Foods Group, Inc. * |
10,129 | 39,706 | ||||||
HilleVax, Inc. * |
4,940 | 81,658 | ||||||
Honest Co., Inc. * |
17,316 | 31,169 | ||||||
Hostess Brands, Inc. * |
36,479 | 907,598 | ||||||
Humacyte, Inc. * |
16,084 | 49,700 | ||||||
Huron Consulting Group, Inc. * |
5,440 | 437,213 | ||||||
I3 Verticals, Inc. Class A * |
6,213 | 152,405 | ||||||
ICF International, Inc. |
4,983 | 546,635 | ||||||
Icosavax, Inc. * |
6,944 | 40,275 | ||||||
Ideaya Biosciences, Inc. * |
12,376 | 169,922 | ||||||
IGM Biosciences, Inc. * |
2,873 | 39,475 | ||||||
ImmunityBio, Inc. * |
22,558 | 41,056 | ||||||
ImmunoGen, Inc. * |
59,569 | 228,745 | ||||||
Immunovant, Inc. * |
11,512 | 178,551 | ||||||
Inari Medical, Inc. * |
13,057 | 806,139 | ||||||
Information Services Group, Inc. |
9,851 | 50,142 | ||||||
Ingles Markets, Inc. Class A |
4,001 | 354,889 | ||||||
Inhibrx, Inc. * |
9,175 | 173,132 | ||||||
Innovage Holding Corp. * |
5,223 | 41,680 | ||||||
Innoviva, Inc. * |
17,672 | 198,810 | ||||||
Inogen, Inc. * |
6,640 | 82,867 | ||||||
Inotiv, Inc. * |
5,533 | 23,958 | ||||||
Inovio Pharmaceuticals, Inc. * |
67,342 | 55,220 | ||||||
Insmed, Inc. * |
36,479 | 621,967 | ||||||
Insperity, Inc. |
9,779 | 1,188,637 | ||||||
Inspire Medical Systems, Inc. * |
7,779 | 1,820,831 | ||||||
Instil Bio, Inc. * |
20,232 | 13,369 | ||||||
Integer Holdings Corp. * |
8,890 | 688,975 | ||||||
Intellia Therapeutics, Inc. * |
22,447 | 836,600 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
131
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
Inter Parfums, Inc. |
4,930 | $701,243 | ||||||
Intercept Pharmaceuticals, Inc. * |
6,993 | 93,916 | ||||||
Intra-Cellular Therapies, Inc. * |
24,877 | 1,347,090 | ||||||
Invitae Corp. * |
65,368 | 88,247 | ||||||
Invivyd, Inc. * |
15,257 | 18,308 | ||||||
Iovance Biotherapeutics, Inc. * |
39,828 | 243,349 | ||||||
iRadimed Corp. |
2,073 | 81,573 | ||||||
iRhythm Technologies, Inc. * |
8,198 | 1,016,798 | ||||||
Ironwood Pharmaceuticals, Inc. * |
36,012 | 378,846 | ||||||
iTeos Therapeutics, Inc. * |
6,653 | 90,547 | ||||||
IVERIC bio, Inc. * |
36,978 | 899,675 | ||||||
J & J Snack Foods Corp. |
4,111 | 609,332 | ||||||
Janux Therapeutics, Inc. * |
4,413 | 53,397 | ||||||
John B Sanfilippo & Son, Inc. |
2,524 | 244,626 | ||||||
John Wiley & Sons, Inc. Class A |
11,318 | 438,799 | ||||||
Joint Corp. * |
3,930 | 66,142 | ||||||
Jounce Therapeutics, Inc. * |
11,490 | 21,257 | ||||||
KalVista Pharmaceuticals, Inc. * |
6,622 | 52,049 | ||||||
Karuna Therapeutics, Inc. * |
8,818 | 1,601,702 | ||||||
Karyopharm Therapeutics, Inc. * |
21,360 | 83,090 | ||||||
Kelly Services, Inc. Class A |
9,458 | 156,908 | ||||||
Keros Therapeutics, Inc. * |
5,386 | 229,982 | ||||||
Kezar Life Sciences, Inc. * |
14,514 | 45,429 | ||||||
Kforce, Inc. |
5,345 | 338,018 | ||||||
Kiniksa Pharmaceuticals Ltd. Class A * |
8,746 | 94,107 | ||||||
Kinnate Biopharma, Inc. * |
7,928 | 49,550 | ||||||
Kodiak Sciences, Inc. * |
9,520 | 59,024 | ||||||
Korn Ferry |
14,141 | 731,655 | ||||||
Krispy Kreme, Inc. |
19,048 | 296,196 | ||||||
Kronos Bio, Inc. * |
11,060 | 16,148 | ||||||
Krystal Biotech, Inc. * |
5,723 | 458,183 | ||||||
Kura Oncology, Inc. * |
17,822 | 217,963 | ||||||
Kymera Therapeutics, Inc. * |
10,398 | 308,093 | ||||||
Lancaster Colony Corp. |
5,305 | 1,076,278 | ||||||
Lantheus Holdings, Inc. * |
18,597 | 1,535,368 | ||||||
Laureate Education, Inc. |
36,110 | 424,654 | ||||||
Leafly Holdings, Inc. * |
5,172 | 2,068 | ||||||
Legalzoom.com, Inc. * |
26,919 | 252,500 | ||||||
LeMaitre Vascular, Inc. |
5,430 | 279,482 | ||||||
Lexicon Pharmaceuticals, Inc. * |
22,083 | 53,662 | ||||||
Lifecore Biomedical, Inc. * |
7,169 | 27,063 | ||||||
LifeStance Health Group, Inc. * |
20,646 | 153,400 | ||||||
Ligand Pharmaceuticals, Inc. * |
4,154 | 305,568 | ||||||
Liquidia Corp. * |
12,971 | 89,630 | ||||||
LivaNova PLC * |
14,322 | 624,153 | ||||||
LiveRamp Holdings, Inc. * |
17,158 | 376,275 | ||||||
Local Bounti Corp. * |
20,935 | 16,687 | ||||||
Lyell Immunopharma, Inc. * |
48,670 | 114,861 | ||||||
MacroGenics, Inc. * |
17,306 | 124,084 | ||||||
Madrigal Pharmaceuticals, Inc. * |
3,465 | 839,431 | ||||||
MannKind Corp. * |
70,182 | 287,746 | ||||||
Marathon Digital Holdings, Inc. * |
30,964 | 270,006 | ||||||
MarketWise, Inc. * |
3,098 | 5,731 | ||||||
Matthews International Corp. Class A |
7,898 | 284,802 | ||||||
MaxCyte, Inc. * |
23,744 | 117,533 | ||||||
Medifast, Inc. |
3,048 | 315,986 | ||||||
Medpace Holdings, Inc. * |
6,902 | 1,297,921 | ||||||
MeiraGTx Holdings PLC * |
8,487 | 43,878 | ||||||
Merit Medical Systems, Inc. * |
15,184 | 1,122,857 | ||||||
Mersana Therapeutics, Inc. * |
25,636 | 105,364 | ||||||
MGP Ingredients, Inc. |
3,783 | 365,892 | ||||||
MiMedx Group, Inc. * |
31,650 | 107,927 | ||||||
Mineralys Therapeutics, Inc. * |
2,973 | 46,557 | ||||||
Mirum Pharmaceuticals, Inc. * |
4,941 | 118,683 | ||||||
Mission Produce, Inc. * |
10,566 | 117,388 | ||||||
ModivCare, Inc. * |
3,350 | 281,668 | ||||||
MoneyGram International, Inc. * |
26,113 | 272,097 | ||||||
Moneylion, Inc. * |
40,753 | 23,140 | ||||||
Monro, Inc. |
8,610 | 425,592 | ||||||
Monte Rosa Therapeutics, Inc. * |
8,298 | 64,641 | ||||||
Morphic Holding, Inc. * |
6,925 | 260,657 | ||||||
Multiplan Corp. * |
106,862 | 113,274 |
|
|
|||||||
Myriad Genetics, Inc. * |
21,349 | $495,937 | ||||||
Nano-X Imaging Ltd. * (Israel) |
12,598 | 72,690 | ||||||
NanoString Technologies, Inc. * |
12,958 | 128,284 | ||||||
National Beverage Corp. * |
6,592 | 347,530 | ||||||
National HealthCare Corp. |
3,484 | 202,316 | ||||||
National Research Corp. |
3,989 | 173,561 | ||||||
Natural Grocers by Vitamin Cottage, Inc. |
2,889 | 33,946 | ||||||
Natures Sunshine Products, Inc. * |
3,409 | 34,806 | ||||||
Nautilus Biotechnology, Inc. SPAC * |
13,513 | 37,431 | ||||||
Nektar Therapeutics * |
50,360 | 35,398 | ||||||
Neogen Corp. * |
58,807 | 1,089,106 | ||||||
NeoGenomics, Inc. * |
34,677 | 603,727 | ||||||
Nevro Corp. * |
9,806 | 354,487 | ||||||
NGM Biopharmaceuticals, Inc. * |
11,285 | 46,043 | ||||||
Nkarta, Inc. * |
9,173 | 32,564 | ||||||
Nurix Therapeutics, Inc. * |
12,900 | 114,552 | ||||||
Nuvalent, Inc. Class A * |
5,661 | 147,695 | ||||||
NuVasive, Inc. * |
14,048 | 580,323 | ||||||
Nuvation Bio, Inc. * |
33,923 | 56,312 | ||||||
Ocugen, Inc. * |
61,494 | 52,461 | ||||||
Ocular Therapeutix, Inc. * |
22,034 | 116,119 | ||||||
OmniAb, Inc. * |
21,888 | 80,548 | ||||||
Omnicell, Inc. * |
11,934 | 700,168 | ||||||
Oncology Institute, Inc. * |
8,717 | 5,909 | ||||||
OPKO Health, Inc. * |
114,128 | 166,627 | ||||||
Option Care Health, Inc. * |
45,432 | 1,443,375 | ||||||
OraSure Technologies, Inc. * |
20,519 | 124,140 | ||||||
Organogenesis Holdings, Inc. * |
19,948 | 42,489 | ||||||
Orthofix Medical, Inc. * |
9,501 | 159,142 | ||||||
OrthoPediatrics Corp. * |
4,138 | 183,272 | ||||||
Oscar Health, Inc. Class A * |
33,375 | 218,273 | ||||||
Outlook Therapeutics, Inc. * |
30,807 | 33,580 | ||||||
Owens & Minor, Inc. * |
20,708 | 301,301 | ||||||
Owlet, Inc. * |
4,459 | 1,447 | ||||||
P3 Health Partners, Inc. * |
7,637 | 8,095 | ||||||
Pacific Biosciences of California, Inc. * |
67,053 | 776,474 | ||||||
Pacira BioSciences, Inc. * |
11,897 | 485,517 | ||||||
Paragon 28, Inc. * |
12,892 | 220,066 | ||||||
Pardes Biosciences, Inc. * |
7,949 | 10,493 | ||||||
Patterson Cos., Inc. |
23,319 | 624,250 | ||||||
Payoneer Global, Inc. * |
61,050 | 383,394 | ||||||
Paysafe Ltd. * |
7,555 | 130,475 | ||||||
Pediatrix Medical Group, Inc. * |
21,527 | 320,968 | ||||||
Pennant Group, Inc. * |
7,562 | 107,985 | ||||||
PepGen, Inc. * |
4,108 | 50,241 | ||||||
Perdoceo Education Corp. * |
18,982 | 254,928 | ||||||
PetIQ, Inc. * |
7,522 | 86,052 | ||||||
PFSweb, Inc. |
4,567 | 19,364 | ||||||
Phathom Pharmaceuticals, Inc. * |
6,496 | 46,381 | ||||||
PhenomeX, Inc. * |
15,555 | 18,044 | ||||||
Phibro Animal Health Corp. Class A |
6,195 | 94,907 | ||||||
PMV Pharmaceuticals, Inc. * |
10,583 | 50,481 | ||||||
Point Biopharma Global, Inc. SPAC * |
24,011 | 174,560 | ||||||
Praxis Precision Medicines, Inc. * |
9,132 | 7,388 | ||||||
Precigen, Inc. * |
27,023 | 28,644 | ||||||
Prestige Consumer Healthcare, Inc. * |
13,334 | 835,108 | ||||||
Prime Medicine, Inc. * |
2,639 | 32,460 | ||||||
Primo Water Corp. |
42,625 | 654,294 | ||||||
Priority Technology Holdings, Inc. * |
6,741 | 24,200 | ||||||
PROCEPT BioRobotics Corp. * |
7,211 | 204,792 | ||||||
PROG Holdings, Inc. * |
13,989 | 332,798 | ||||||
Progyny, Inc. * |
20,397 | 655,152 | ||||||
Prometheus Biosciences, Inc. * |
9,471 | 1,016,428 | ||||||
Protagonist Therapeutics, Inc. * |
12,858 | 295,734 | ||||||
Prothena Corp. PLC * (Ireland) |
10,623 | 514,897 | ||||||
Provention Bio, Inc. * |
17,071 | 411,411 | ||||||
PTC Therapeutics, Inc. * |
19,094 | 924,913 | ||||||
Pulmonx Corp. * |
9,899 | 110,671 | ||||||
Quad/Graphics, Inc. * |
10,046 | 43,097 | ||||||
Quanex Building Products Corp. |
9,382 | 201,994 | ||||||
Quanterix Corp. * |
9,476 | 106,795 | ||||||
Quantum-Si, Inc. * |
25,398 | 44,700 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
132
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
R1 RCM, Inc. * |
41,265 | $618,975 | ||||||
RadNet, Inc. * |
13,742 | 343,962 | ||||||
Rallybio Corp. * |
4,168 | 23,799 | ||||||
RAPT Therapeutics, Inc. * |
8,381 | 153,791 | ||||||
Reata Pharmaceuticals, Inc. Class A * |
7,516 | 683,355 | ||||||
Recursion Pharmaceuticals, Inc. Class A * |
38,141 | 254,400 | ||||||
REGENXBIO, Inc. * |
11,287 | 213,437 | ||||||
Relay Therapeutics, Inc. * |
22,827 | 375,961 | ||||||
Relmada Therapeutics, Inc. * |
7,567 | 17,101 | ||||||
Remitly Global, Inc. * |
27,402 | 464,464 | ||||||
Rent the Runway, Inc. Class A * |
14,271 | 40,672 | ||||||
Repay Holdings Corp. * |
24,901 | 163,600 | ||||||
Replimune Group, Inc. * |
12,470 | 220,220 | ||||||
Resources Connection, Inc. |
9,146 | 156,031 | ||||||
Revance Therapeutics, Inc. * |
21,958 | 707,267 | ||||||
REVOLUTION Medicines, Inc. * |
23,519 | 509,422 | ||||||
Rigel Pharmaceuticals, Inc. * |
46,759 | 61,722 | ||||||
Riot Platforms, Inc. * |
42,731 | 426,883 | ||||||
Rocket Pharmaceuticals, Inc. * |
15,018 | 257,258 | ||||||
RxSight, Inc. * |
5,676 | 94,676 | ||||||
Sabre Corp. * |
87,617 | 375,877 | ||||||
Sage Therapeutics, Inc. * |
14,085 | 591,007 | ||||||
Sana Biotechnology, Inc. * |
24,818 | 81,155 | ||||||
Sangamo Therapeutics, Inc. * |
39,707 | 69,884 | ||||||
Science 37 Holdings, Inc. * |
17,433 | 4,909 | ||||||
Scilex Holding Co. * |
18,410 | 150,962 | ||||||
Seer, Inc. * |
14,879 | 57,433 | ||||||
Select Medical Holdings Corp. |
28,044 | 724,937 | ||||||
Seneca Foods Corp. Class A * |
1,582 | 82,691 | ||||||
Senseonics Holdings, Inc. * |
124,245 | 88,214 | ||||||
Seres Therapeutics, Inc. * |
19,829 | 112,430 | ||||||
Shockwave Medical, Inc. * |
9,686 | 2,100,215 | ||||||
ShotSpotter, Inc. * |
2,409 | 94,722 | ||||||
SI-BONE, Inc. * |
9,359 | 184,092 | ||||||
SIGA Technologies, Inc. |
13,267 | 76,285 | ||||||
Silk Road Medical, Inc. * |
10,019 | 392,043 | ||||||
Simply Good Foods Co. * |
24,193 | 962,156 | ||||||
Singular Genomics Systems, Inc. * |
15,602 | 18,878 | ||||||
SomaLogic, Inc. * |
42,206 | 107,625 | ||||||
SP Plus Corp. * |
5,484 | 188,046 | ||||||
SpartanNash Co. |
9,573 | 237,410 | ||||||
Spire Global, Inc. * |
33,361 | 22,285 | ||||||
SpringWorks Therapeutics, Inc. * |
9,882 | 254,363 | ||||||
Sprouts Farmers Market, Inc. * |
28,781 | 1,008,198 | ||||||
STAAR Surgical Co. * |
13,020 | 832,629 | ||||||
Sterling Check Corp. * |
6,714 | 74,861 | ||||||
Stoke Therapeutics, Inc. * |
6,122 | 50,996 | ||||||
StoneCo Ltd. Class A * (Brazil) |
75,324 | 718,591 | ||||||
Strategic Education, Inc. |
6,158 | 553,173 | ||||||
Stride, Inc. * |
11,368 | 446,194 | ||||||
SunOpta, Inc. * (Canada) |
27,036 | 208,177 | ||||||
Supernus Pharmaceuticals, Inc. * |
13,188 | 477,801 | ||||||
Surgery Partners, Inc. * |
14,162 | 488,164 | ||||||
Surmodics, Inc. * |
3,813 | 86,860 | ||||||
Sutro Biopharma, Inc. * |
16,154 | 74,631 | ||||||
Syndax Pharmaceuticals, Inc. * |
16,052 | 339,018 | ||||||
Tactile Systems Technology, Inc. * |
5,500 | 90,310 | ||||||
Talaris Therapeutics, Inc. * |
6,058 | 11,389 | ||||||
Tango Therapeutics, Inc. * |
13,129 | 51,860 | ||||||
Target Hospitality Corp. * |
8,395 | 110,310 | ||||||
Tarsus Pharmaceuticals, Inc. * |
5,112 | 64,258 | ||||||
Tattooed Chef, Inc. * |
13,324 | 18,920 | ||||||
Tejon Ranch Co. * |
5,981 | 109,273 | ||||||
Tenaya Therapeutics, Inc. * |
8,212 | 23,404 | ||||||
Textainer Group Holdings Ltd. (China) |
11,996 | 385,192 | ||||||
TG Therapeutics, Inc. * |
36,847 | 554,179 | ||||||
Theravance Biopharma, Inc. * |
17,771 | 192,815 | ||||||
Theseus Pharmaceuticals, Inc. * |
4,288 | 38,077 | ||||||
Third Harmonic Bio, Inc. * |
3,427 | 14,119 | ||||||
Thorne HealthTech, Inc. * |
4,618 | 21,335 | ||||||
Tootsie Roll Industries, Inc. |
4,239 | 190,395 | ||||||
Transcat, Inc. * |
2,020 | 180,568 |
|
|
|||||||
TransMedics Group, Inc. * |
8,239 | $623,939 | ||||||
Travere Therapeutics, Inc. * |
17,103 | 384,646 | ||||||
Treace Medical Concepts, Inc. * |
9,946 | 250,540 | ||||||
TreeHouse Foods, Inc. * |
13,750 | 693,413 | ||||||
TriNet Group, Inc. * |
10,173 | 820,046 | ||||||
Triton International Ltd. (Bermuda) |
15,830 | 1,000,773 | ||||||
TrueBlue, Inc. * |
9,091 | 161,820 | ||||||
Turning Point Brands, Inc. |
4,262 | 89,502 | ||||||
Twist Bioscience Corp. * |
15,898 | 239,742 | ||||||
Tyra Biosciences, Inc. * |
3,456 | 55,538 | ||||||
Udemy, Inc. * |
20,272 | 179,002 | ||||||
UFP Technologies, Inc. * |
1,837 | 238,516 | ||||||
United Natural Foods, Inc. * |
16,345 | 430,691 | ||||||
Universal Corp. |
6,744 | 356,690 | ||||||
Universal Technical Institute, Inc. * |
8,476 | 62,553 | ||||||
Upbound Group, Inc. |
13,967 | 342,331 | ||||||
US Physical Therapy, Inc. |
3,446 | 337,398 | ||||||
USANA Health Sciences, Inc. * |
2,971 | 186,876 | ||||||
Utah Medical Products, Inc. |
985 | 93,348 | ||||||
Utz Brands, Inc. |
18,038 | 297,086 | ||||||
V2X, Inc. * |
3,277 | 130,162 | ||||||
Vanda Pharmaceuticals, Inc. * |
16,014 | 108,735 | ||||||
Varex Imaging Corp. * |
9,770 | 177,716 | ||||||
Vaxart, Inc. * |
34,034 | 25,754 | ||||||
Vaxcyte, Inc. * |
19,489 | 730,448 | ||||||
VBI Vaccines, Inc. * |
53,523 | 16,217 | ||||||
Vector Group Ltd. |
38,892 | 467,093 | ||||||
Ventyx Biosciences, Inc. * |
7,024 | 235,304 | ||||||
Vera Therapeutics, Inc. * |
6,426 | 49,866 | ||||||
Veracyte, Inc. * |
19,793 | 441,384 | ||||||
Vericel Corp. * |
12,677 | 371,690 | ||||||
Veru, Inc. * |
18,025 | 20,909 | ||||||
Verve Therapeutics, Inc. * |
12,657 | 182,514 | ||||||
Viad Corp. * |
5,741 | 119,642 | ||||||
Vicarious Surgical, Inc. * |
15,098 | 34,272 | ||||||
ViewRay, Inc. * |
39,648 | 137,182 | ||||||
Village Super Market, Inc. Class A |
2,310 | 52,853 | ||||||
Vintage Wine Estates, Inc. * |
8,349 | 8,933 | ||||||
Vir Biotechnology, Inc. * |
19,572 | 455,440 | ||||||
Viridian Therapeutics, Inc. * |
10,485 | 266,738 | ||||||
VistaGen Therapeutics, Inc. * |
54,507 | 6,797 | ||||||
Vita Coco Co., Inc. * |
7,497 | 147,091 | ||||||
Vital Farms, Inc. * |
8,027 | 122,813 | ||||||
WD-40 Co. |
3,696 | 658,073 | ||||||
Weis Markets, Inc. |
4,410 | 373,395 | ||||||
Wejo Group Ltd. * (Bermuda) |
6,235 | 3,074 | ||||||
Whole Earth Brands, Inc. * |
10,648 | 27,259 | ||||||
Willdan Group, Inc. * |
3,203 | 50,031 | ||||||
WW International, Inc. * |
15,006 | 61,825 | ||||||
Xencor, Inc. * |
15,446 | 430,789 | ||||||
Xeris Biopharma Holdings, Inc. * |
37,515 | 61,149 | ||||||
Y-mAbs Therapeutics, Inc. * |
9,957 | 49,885 | ||||||
Zentalis Pharmaceuticals, Inc. * |
13,028 | 224,082 | ||||||
Zimvie, Inc. * |
5,789 | 41,854 | ||||||
ZipRecruiter, Inc. Class A * |
19,363 | 308,646 | ||||||
Zynex, Inc. * |
6,493 | 77,916 | ||||||
|
|
|||||||
147,999,580 | ||||||||
|
|
|||||||
Energy - 6.4% |
| |||||||
Aemetis, Inc. * |
8,840 | 20,509 | ||||||
Alpha Metallurgical Resources, Inc. |
4,131 | 644,436 | ||||||
Alto Ingredients, Inc. * |
20,377 | 30,566 | ||||||
Amplify Energy Corp. * |
9,684 | 66,529 | ||||||
Arch Resources, Inc. |
4,124 | 542,141 | ||||||
Archrock, Inc. |
36,616 | 357,738 | ||||||
Aris Water Solution, Inc. Class A |
5,953 | 46,374 | ||||||
Array Technologies, Inc. * |
41,087 | 898,984 | ||||||
Battalion Oil Corp. * |
478 | 3,140 | ||||||
Berry Corp. |
19,990 | 156,922 | ||||||
Borr Drilling Ltd. * (United Arab Emirates) |
53,673 | 406,841 | ||||||
Bristow Group, Inc. * |
6,668 | 149,363 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
133
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
California Resources Corp. |
20,112 | $774,312 | ||||||
Callon Petroleum Co. * |
13,217 | 441,976 | ||||||
ChampionX Corp. |
54,585 | 1,480,891 | ||||||
Chord Energy Corp. |
11,379 | 1,531,613 | ||||||
Civitas Resources, Inc. |
20,136 | 1,376,094 | ||||||
Cleanspark, Inc. * |
20,273 | 56,359 | ||||||
CNX Resources Corp. * |
45,574 | 730,095 | ||||||
Comstock Resources, Inc. |
25,777 | 278,134 | ||||||
CONSOL Energy, Inc. |
9,264 | 539,813 | ||||||
Crescent Energy Co. Class A |
10,624 | 120,157 | ||||||
CVR Energy, Inc. |
8,424 | 276,139 | ||||||
Delek US Holdings, Inc. |
19,340 | 443,853 | ||||||
Denbury, Inc. * |
13,695 | 1,200,093 | ||||||
Diamond Offshore Drilling, Inc. * |
27,758 | 334,206 | ||||||
DMC Global, Inc. * |
5,294 | 116,309 | ||||||
Dril-Quip, Inc. * |
8,931 | 256,230 | ||||||
Earthstone Energy, Inc. Class A * |
12,220 | 158,982 | ||||||
Empire Petroleum Corp. * |
2,766 | 34,326 | ||||||
Energy Vault Holdings, Inc. * |
23,503 | 50,296 | ||||||
Eneti, Inc. |
5,910 | 55,259 | ||||||
Equitrans Midstream Corp. |
111,666 | 645,429 | ||||||
Excelerate Energy, Inc. Class A |
5,325 | 117,896 | ||||||
Expro Group Holdings NV * |
23,434 | 430,248 | ||||||
Fluence Energy, Inc. * |
9,905 | 200,576 | ||||||
FuelCell Energy, Inc. * |
108,886 | 310,325 | ||||||
FutureFuel Corp. |
7,097 | 52,376 | ||||||
Gevo, Inc. * |
56,762 | 87,413 | ||||||
Golar LNG Ltd. * (Cameroon) |
27,268 | 588,989 | ||||||
Green Plains, Inc. * |
10,265 | 318,112 | ||||||
Gulfport Energy Corp. * |
2,946 | 235,680 | ||||||
Heliogen, Inc. * |
23,931 | 5,748 | ||||||
Helix Energy Solutions Group, Inc. * |
38,090 | 294,817 | ||||||
Helmerich & Payne, Inc. |
28,017 | 1,001,608 | ||||||
HighPeak Energy, Inc. |
1,778 | 40,894 | ||||||
Kinetik Holdings, Inc. |
4,871 | 152,462 | ||||||
Kosmos Energy Ltd. * (Ghana) |
123,293 | 917,300 | ||||||
Liberty Energy, Inc. |
36,474 | 467,232 | ||||||
Magnolia Oil & Gas Corp. Class A |
47,471 | 1,038,666 | ||||||
Matador Resources Co. |
30,720 | 1,463,808 | ||||||
Montauk Renewables, Inc. * |
17,835 | 140,361 | ||||||
Murphy Oil Corp. |
40,258 | 1,488,741 | ||||||
Nabors Industries Ltd. * |
2,394 | 291,853 | ||||||
NACCO Industries, Inc. Class A |
1,080 | 38,956 | ||||||
National Energy Services Reunited Corp. * |
10,489 | 55,172 | ||||||
Newpark Resources, Inc. * |
25,812 | 99,376 | ||||||
NextDecade Corp. * |
8,872 | 44,094 | ||||||
NexTier Oilfield Solutions, Inc. * |
47,356 | 376,480 | ||||||
Noble Corp. PLC * |
22,848 | 901,811 | ||||||
Northern Oil & Gas, Inc. |
18,036 | 547,393 | ||||||
NOW, Inc. * |
29,266 | 326,316 | ||||||
Oceaneering International, Inc. * |
27,215 | 479,800 | ||||||
Oil States International, Inc. * |
17,196 | 143,243 | ||||||
Par Pacific Holdings, Inc. * |
13,898 | 405,822 | ||||||
Patterson-UTI Energy, Inc. |
58,393 | 683,198 | ||||||
PBF Energy, Inc. Class A |
32,257 | 1,398,664 | ||||||
Peabody Energy Corp. * |
32,076 | 821,146 | ||||||
Permian Resources Corp. |
63,849 | 670,415 | ||||||
ProFrac Holding Corp. Class A * |
6,451 | 81,734 | ||||||
ProPetro Holding Corp. * |
24,544 | 176,471 | ||||||
Ramaco Resources, Inc. |
6,187 | 54,507 | ||||||
Ranger Oil Corp. Class A |
5,239 | 213,961 | ||||||
REX American Resources Corp. * |
4,527 | 129,427 | ||||||
Riley Exploration Permian, Inc. |
3,039 | 115,664 | ||||||
Ring Energy, Inc. * |
24,141 | 45,868 | ||||||
RPC, Inc. |
19,550 | 150,340 | ||||||
SandRidge Energy, Inc. * |
5,917 | 85,264 | ||||||
Select Energy Services, Inc. Class A |
19,247 | 133,959 | ||||||
Shoals Technologies Group, Inc. Class A * |
44,301 | 1,009,620 | ||||||
SilverBow Resources, Inc. * |
3,246 | 74,171 | ||||||
Sitio Royalties Corp. Class A |
19,187 | 433,626 | ||||||
SM Energy Co. |
32,846 | 924,943 | ||||||
Solaris Oilfield Infrastructure, Inc. Class A |
8,990 | 76,775 |
|
|
|||||||
Stem, Inc. * |
40,545 | $229,890 | ||||||
SunCoke Energy, Inc. |
23,274 | 209,001 | ||||||
Sunnova Energy International, Inc. * |
26,517 | 414,196 | ||||||
SunPower Corp. * |
21,646 | 299,581 | ||||||
Talos Energy, Inc. * |
18,638 | 276,588 | ||||||
Tellurian, Inc. * |
143,054 | 175,956 | ||||||
TETRA Technologies, Inc. * |
34,967 | 92,663 | ||||||
Tidewater, Inc. * |
12,889 | 568,147 | ||||||
TPI Composites, Inc. * |
10,178 | 132,823 | ||||||
US Silica Holdings, Inc. * |
20,929 | 249,892 | ||||||
VAALCO Energy, Inc. |
29,265 | 132,570 | ||||||
Valaris Ltd. * |
16,671 | 1,084,615 | ||||||
Vertex Energy, Inc. * |
15,330 | 151,460 | ||||||
Vital Energy, Inc. * |
4,715 | 214,721 | ||||||
W&T Offshore, Inc. * |
26,922 | 136,764 | ||||||
Warrior Met Coal, Inc. |
14,191 | 520,952 | ||||||
Weatherford International PLC * |
19,249 | 1,142,428 | ||||||
|
|
|||||||
40,599,677 | ||||||||
|
|
|||||||
Financial - 21.0% |
| |||||||
1st Source Corp. |
4,277 | 184,553 | ||||||
Acadia Realty Trust REIT |
24,153 | 336,934 | ||||||
ACNB Corp. |
2,538 | 82,612 | ||||||
AFC Gamma, Inc. REIT |
4,115 | 50,038 | ||||||
Agree Realty Corp. REIT |
23,948 | 1,643,072 | ||||||
Alerus Financial Corp. |
4,370 | 70,139 | ||||||
Alexander & Baldwin, Inc. REIT * |
19,821 | 374,815 | ||||||
Alexanders, Inc. REIT |
603 | 116,831 | ||||||
Amalgamated Financial Corp. |
4,180 | 73,944 | ||||||
Ambac Financial Group, Inc. * |
12,470 | 193,036 | ||||||
Amerant Bancorp, Inc. |
7,762 | 168,901 | ||||||
American Assets Trust, Inc. REIT |
13,629 | 253,363 | ||||||
American Equity Investment Life Holding Co. |
19,253 | 702,542 | ||||||
American National Bankshares, Inc. |
3,137 | 99,443 | ||||||
Ameris Bancorp |
17,990 | 658,074 | ||||||
AMERISAFE, Inc. |
5,085 | 248,911 | ||||||
Angel Oak Mortgage REIT, Inc. |
3,681 | 26,871 | ||||||
Anywhere Real Estate, Inc. * |
29,311 | 154,762 | ||||||
Apartment Investment & Management Co. Class A REIT |
40,850 | 314,137 | ||||||
Apollo Commercial Real Estate Finance, Inc. REIT |
37,921 | 353,045 | ||||||
Apple Hospitality REIT, Inc. |
58,715 | 911,257 | ||||||
Applied Digital Corp. * |
20,919 | 46,859 | ||||||
Arbor Realty Trust, Inc. REIT |
44,628 | 512,776 | ||||||
Ares Commercial Real Estate Corp. REIT |
15,222 | 138,368 | ||||||
Argo Group International Holdings Ltd. |
8,821 | 258,367 | ||||||
Armada Hoffler Properties, Inc. REIT |
17,038 | 201,219 | ||||||
ARMOUR Residential REIT, Inc. |
39,030 | 204,908 | ||||||
Arrow Financial Corp. |
3,690 | 91,918 | ||||||
Artisan Partners Asset Management, Inc. Class A |
16,209 | 518,364 | ||||||
Ashford Hospitality Trust, Inc. REIT * |
9,938 | 31,901 | ||||||
AssetMark Financial Holdings, Inc. * |
5,895 | 185,398 | ||||||
Associated Banc-Corp. |
40,725 | 732,235 | ||||||
Associated Capital Group, Inc. Class A |
507 | 18,734 | ||||||
Atlantic Union Bankshares Corp. |
20,360 | 713,618 | ||||||
Atlanticus Holdings Corp. * |
1,279 | 34,699 | ||||||
Avantax, Inc. * |
13,083 | 344,345 | ||||||
Axos Financial, Inc. * |
15,615 | 576,506 | ||||||
B Riley Financial, Inc. |
5,814 | 165,059 | ||||||
Banc of California, Inc. |
12,967 | 162,477 | ||||||
BancFirst Corp. |
5,450 | 452,895 | ||||||
Banco Latinoamericano de Comercio Exterior SA (Panama) |
7,106 | 123,502 | ||||||
Bancorp, Inc. * |
14,708 | 409,618 | ||||||
Bank First Corp. |
1,891 | 139,140 | ||||||
Bank of Marin Bancorp |
4,597 | 100,628 | ||||||
Bank of NT Butterfield & Son Ltd. (Bermuda) |
13,464 | 363,528 | ||||||
BankUnited, Inc. |
20,187 | 455,822 | ||||||
Bankwell Financial Group, Inc. |
1,898 | 47,184 | ||||||
Banner Corp. |
9,489 | 515,917 | ||||||
Bar Harbor Bankshares |
4,199 | 111,064 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
134
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
BayCom Corp. |
3,365 | $57,474 | ||||||
BCB Bancorp, Inc. |
4,277 | 56,157 | ||||||
Berkshire Hills Bancorp, Inc. |
11,394 | 285,534 | ||||||
BGC Partners, Inc. Class A |
85,462 | 446,966 | ||||||
Blackstone Mortgage Trust, Inc. Class A REIT |
47,467 | 847,286 | ||||||
Blue Foundry Bancorp * |
7,307 | 69,563 | ||||||
Blue Ridge Bankshares, Inc. |
4,942 | 50,408 | ||||||
Bluerock Homes Trust, Inc. REIT * |
996 | 19,741 | ||||||
Braemar Hotels & Resorts, Inc. REIT |
16,471 | 63,578 | ||||||
Brandywine Realty Trust REIT |
48,359 | 228,738 | ||||||
Bread Financial Holdings, Inc. |
8,017 | 243,075 | ||||||
Bridgewater Bancshares, Inc. * |
6,000 | 65,040 | ||||||
Brightsphere Investment Group, Inc. |
8,467 | 199,652 | ||||||
BrightSpire Capital, Inc. REIT |
27,793 | 163,979 | ||||||
Broadmark Realty Capital, Inc. REIT |
36,929 | 173,566 | ||||||
Broadstone Net Lease, Inc. REIT |
47,458 | 807,261 | ||||||
Brookfield Business Corp. Class A (Canada) |
7,170 | 142,109 | ||||||
Brookline Bancorp, Inc. |
23,849 | 250,415 | ||||||
BRP Group, Inc. Class A * |
16,411 | 417,824 | ||||||
BRT Apartments Corp. REIT |
2,962 | 58,411 | ||||||
Business First Bancshares, Inc. |
6,834 | 117,066 | ||||||
Byline Bancorp, Inc. |
6,572 | 142,087 | ||||||
Cadence Bank |
46,120 | 957,451 | ||||||
Cambridge Bancorp |
1,939 | 125,667 | ||||||
Camden National Corp. |
4,199 | 151,962 | ||||||
Cannae Holdings, Inc. * |
18,942 | 382,250 | ||||||
Capital Bancorp, Inc. |
2,234 | 37,174 | ||||||
Capital City Bank Group, Inc. |
3,827 | 112,169 | ||||||
Capitol Federal Financial, Inc. |
33,292 | 224,055 | ||||||
Capstar Financial Holdings, Inc. |
5,885 | 89,158 | ||||||
CareTrust REIT, Inc. |
26,731 | 523,393 | ||||||
Carter Bankshares, Inc. * |
6,979 | 97,706 | ||||||
Cathay General Bancorp |
19,395 | 669,515 | ||||||
CBL & Associates Properties, Inc. REIT |
7,098 | 181,993 | ||||||
Centerspace REIT |
4,153 | 226,878 | ||||||
Central Pacific Financial Corp. |
6,796 | 121,648 | ||||||
Chatham Lodging Trust REIT |
13,379 | 140,346 | ||||||
Chicago Atlantic Real Estate Finance, Inc. |
1,993 | 26,925 | ||||||
Chimera Investment Corp. REIT |
64,931 | 366,211 | ||||||
Citizens & Northern Corp. |
4,143 | 88,577 | ||||||
City Holding Co. |
4,031 | 366,337 | ||||||
City Office REIT, Inc. |
12,171 | 83,980 | ||||||
Civista Bancshares, Inc. |
4,343 | 73,310 | ||||||
Claros Mortgage Trust, Inc. REIT |
25,821 | 300,815 | ||||||
Clipper Realty, Inc. REIT |
3,507 | 20,130 | ||||||
CNB Financial Corp. |
4,622 | 88,742 | ||||||
CNO Financial Group, Inc. |
30,872 | 685,050 | ||||||
Coastal Financial Corp. * |
2,871 | 103,385 | ||||||
Cohen & Steers, Inc. |
6,861 | 438,830 | ||||||
Colony Bankcorp, Inc. |
4,010 | 40,902 | ||||||
Columbia Financial, Inc. * |
8,740 | 159,767 | ||||||
Community Bank System, Inc. |
14,574 | 764,989 | ||||||
Community Healthcare Trust, Inc. REIT |
6,196 | 226,774 | ||||||
Community Trust Bancorp, Inc. |
3,689 | 139,998 | ||||||
Compass Diversified Holdings |
17,056 | 325,428 | ||||||
Compass, Inc. Class A * |
76,879 | 248,319 | ||||||
ConnectOne Bancorp, Inc. |
10,724 | 189,600 | ||||||
Consumer Portfolio Services, Inc. * |
2,941 | 31,439 | ||||||
Corporate Office Properties Trust REIT |
30,726 | 728,513 | ||||||
Crawford & Co. Class A |
4,680 | 39,125 | ||||||
CrossFirst Bankshares, Inc. * |
11,653 | 122,123 | ||||||
Cryptyde, Inc. * |
5,142 | 428 | ||||||
CTO Realty Growth, Inc. REIT |
4,827 | 83,314 | ||||||
Curo Group Holdings Corp. |
5,819 | 10,067 | ||||||
Cushman & Wakefield PLC * |
42,826 | 451,386 | ||||||
Customers Bancorp, Inc. * |
8,592 | 159,124 | ||||||
CVB Financial Corp. |
37,158 | 619,795 | ||||||
Diamond Hill Investment Group, Inc. |
863 | 142,033 | ||||||
DiamondRock Hospitality Co. REIT |
57,973 | 471,320 | ||||||
Dime Community Bancshares, Inc. |
8,897 | 202,140 | ||||||
Diversified Healthcare Trust REIT |
70,553 | 95,247 | ||||||
Doma Holdings, Inc. * |
38,651 | 15,750 |
|
|
|||||||
Donegal Group, Inc. Class A |
4,250 | $64,940 | ||||||
Douglas Elliman, Inc. |
20,647 | 64,212 | ||||||
Dynex Capital, Inc. REIT |
13,884 | 168,274 | ||||||
Eagle Bancorp, Inc. |
7,888 | 264,011 | ||||||
Easterly Government Properties, Inc. REIT |
23,597 | 324,223 | ||||||
Eastern Bankshares, Inc. |
41,795 | 527,453 | ||||||
eHealth, Inc. * |
6,957 | 65,118 | ||||||
Ellington Financial, Inc. REIT |
15,146 | 184,933 | ||||||
Elme Communities REIT |
23,016 | 411,066 | ||||||
Empire State Realty Trust, Inc. Class A REIT |
37,332 | 242,285 | ||||||
Employers Holdings, Inc. |
7,209 | 300,543 | ||||||
Enact Holdings, Inc. |
8,054 | 184,114 | ||||||
Encore Capital Group, Inc. * |
6,183 | 311,932 | ||||||
Enova International, Inc. * |
8,269 | 367,392 | ||||||
Enstar Group Ltd. * |
3,052 | 707,423 | ||||||
Enterprise Bancorp, Inc. |
2,665 | 83,841 | ||||||
Enterprise Financial Services Corp. |
9,498 | 423,516 | ||||||
Equity Bancshares, Inc. Class A |
4,136 | 100,794 | ||||||
Equity Commonwealth REIT |
28,666 | 593,673 | ||||||
Esquire Financial Holdings, Inc. |
1,920 | 75,072 | ||||||
Essent Group Ltd. |
28,743 | 1,151,157 | ||||||
Essential Properties Realty Trust, Inc. REIT |
38,469 | 955,955 | ||||||
eXp World Holdings, Inc. |
18,376 | 233,191 | ||||||
EZCORP, Inc. Class A * |
14,170 | 121,862 | ||||||
Farmers & Merchants Bancorp, Inc. |
3,097 | 75,319 | ||||||
Farmers National Banc Corp. |
8,886 | 112,319 | ||||||
Farmland Partners, Inc. REIT |
14,392 | 153,994 | ||||||
FB Financial Corp. |
9,412 | 292,525 | ||||||
Federal Agricultural Mortgage Corp. Class C |
2,423 | 322,719 | ||||||
Federated Hermes, Inc. |
23,450 | 941,283 | ||||||
Finance Of America Cos., Inc. Class A * |
5,255 | 6,516 | ||||||
Financial Institutions, Inc. |
4,452 | 85,835 | ||||||
First BanCorp |
49,813 | 568,864 | ||||||
First Bancorp, Inc. |
3,166 | 81,968 | ||||||
First Bancorp/Southern Pines NC |
10,320 | 366,566 | ||||||
First Bancshares, Inc. |
5,708 | 147,438 | ||||||
First Bank |
4,430 | 44,743 | ||||||
First Busey Corp. |
14,444 | 293,791 | ||||||
First Business Financial Services, Inc. |
2,084 | 63,583 | ||||||
First Commonwealth Financial Corp. |
26,911 | 334,504 | ||||||
First Community Bankshares, Inc. |
4,892 | 122,545 | ||||||
First Financial Bancorp |
25,021 | 544,707 | ||||||
First Financial Bankshares, Inc. |
35,422 | 1,129,962 | ||||||
First Financial Corp. |
2,998 | 112,365 | ||||||
First Foundation, Inc. |
14,379 | 107,124 | ||||||
First Guaranty Bancshares, Inc. |
1,411 | 22,110 | ||||||
First Internet Bancorp |
2,673 | 44,505 | ||||||
First Interstate BancSystem, Inc. Class A |
24,379 | 727,957 | ||||||
First Merchants Corp. |
15,591 | 513,723 | ||||||
First Mid Bancshares, Inc. |
5,363 | 145,981 | ||||||
First of Long Island Corp. |
6,523 | 88,061 | ||||||
First Western Financial, Inc. * |
1,760 | 34,848 | ||||||
Five Star Bancorp |
3,543 | 75,608 | ||||||
Flushing Financial Corp. |
7,798 | 116,112 | ||||||
Focus Financial Partners, Inc. Class A * |
15,754 | 817,160 | ||||||
Four Corners Property Trust, Inc. REIT |
22,511 | 604,645 | ||||||
Franklin BSP Realty Trust, Inc. REIT |
22,518 | 268,640 | ||||||
Franklin Street Properties Corp. REIT |
29,405 | 46,166 | ||||||
FRP Holdings, Inc. * |
1,863 | 107,830 | ||||||
Fulton Financial Corp. |
44,113 | 609,642 | ||||||
FVCBankcorp, Inc. * |
3,783 | 40,289 | ||||||
GCM Grosvenor, Inc. Class A |
11,898 | 92,923 | ||||||
Genworth Financial, Inc. Class A * |
137,169 | 688,588 | ||||||
German American Bancorp, Inc. |
7,675 | 256,115 | ||||||
Getty Realty Corp. REIT |
11,224 | 404,401 | ||||||
Glacier Bancorp, Inc. |
30,296 | 1,272,735 | ||||||
Gladstone Commercial Corp. REIT |
10,476 | 132,312 | ||||||
Gladstone Land Corp. REIT |
8,305 | 138,278 | ||||||
Global Medical REIT, Inc. |
17,213 | 156,810 | ||||||
Global Net Lease, Inc. REIT |
28,727 | 369,429 | ||||||
Goosehead Insurance, Inc. Class A * |
5,043 | 263,245 | ||||||
Granite Point Mortgage Trust, Inc. REIT |
15,191 | 75,347 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
135
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
Great Southern Bancorp, Inc. |
2,460 | $124,673 | ||||||
Greene County Bancorp, Inc. |
1,548 | 35,109 | ||||||
Greenlight Capital Re Ltd. Class A * |
7,649 | 71,824 | ||||||
Guaranty Bancshares, Inc. |
2,295 | 63,962 | ||||||
Hamilton Lane, Inc. Class A |
9,709 | 718,272 | ||||||
Hancock Whitney Corp. |
23,593 | 858,785 | ||||||
Hanmi Financial Corp. |
8,694 | 161,448 | ||||||
Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT |
23,649 | 676,361 | ||||||
HarborOne Bancorp, Inc. |
12,421 | 151,536 | ||||||
HBT Financial, Inc. |
2,753 | 54,289 | ||||||
HCI Group, Inc. |
1,867 | 100,071 | ||||||
Heartland Financial USA, Inc. |
11,395 | 437,112 | ||||||
Heritage Commerce Corp. |
16,489 | 137,353 | ||||||
Heritage Financial Corp. |
9,657 | 206,660 | ||||||
Hersha Hospitality Trust REIT |
9,820 | 65,990 | ||||||
Hilltop Holdings, Inc. |
13,465 | 399,507 | ||||||
Hingham Institution For Savings |
413 | 96,411 | ||||||
Hippo Holdings, Inc. * |
4,255 | 69,059 | ||||||
Home Bancorp, Inc. |
2,196 | 72,534 | ||||||
Home BancShares, Inc. |
51,451 | 1,117,001 | ||||||
Home Point Capital, Inc. |
1,960 | 3,783 | ||||||
HomeStreet, Inc. |
5,106 | 91,857 | ||||||
HomeTrust Bancshares, Inc. |
3,954 | 97,229 | ||||||
Hope Bancorp, Inc. |
32,619 | 320,319 | ||||||
Horace Mann Educators Corp. |
10,803 | 361,684 | ||||||
Horizon Bancorp, Inc. |
10,763 | 119,039 | ||||||
Houlihan Lokey, Inc. |
13,800 | 1,207,362 | ||||||
Independence Realty Trust, Inc. REIT |
61,175 | 980,635 | ||||||
Independent Bank Corp. |
12,655 | 830,421 | ||||||
Independent Bank Corp. MI |
5,801 | 103,084 | ||||||
Independent Bank Group, Inc. |
9,548 | 442,550 | ||||||
Indus Realty Trust, Inc. REIT |
1,352 | 89,624 | ||||||
Industrial Logistics Properties Trust REIT |
18,680 | 57,348 | ||||||
Innovative Industrial Properties, Inc. REIT |
7,529 | 572,129 | ||||||
International Bancshares Corp. |
14,618 | 625,943 | ||||||
International Money Express, Inc. * |
8,259 | 212,917 | ||||||
InvenTrust Properties Corp. REIT |
18,151 | 424,733 | ||||||
Invesco Mortgage Capital, Inc. REIT |
9,273 | 102,838 | ||||||
Investors Title Co. |
373 | 56,323 | ||||||
iStar, Inc. REIT * |
10,953 | 321,677 | ||||||
Jackson Financial, Inc. Class A |
20,160 | 754,186 | ||||||
James River Group Holdings Ltd. |
9,238 | 190,765 | ||||||
John Marshall Bancorp, Inc. |
3,207 | 69,271 | ||||||
Kearny Financial Corp. |
16,274 | 132,145 | ||||||
Kennedy-Wilson Holdings, Inc. |
32,099 | 532,522 | ||||||
Kinsale Capital Group, Inc. |
5,908 | 1,773,285 | ||||||
Kite Realty Group Trust REIT |
59,425 | 1,243,171 | ||||||
KKR Real Estate Finance Trust, Inc. REIT |
16,175 | 184,233 | ||||||
Ladder Capital Corp. REIT |
30,782 | 290,890 | ||||||
Lakeland Bancorp, Inc. |
16,386 | 256,277 | ||||||
Lakeland Financial Corp. |
6,647 | 416,368 | ||||||
Legacy Housing Corp. * |
2,286 | 52,029 | ||||||
Lemonade, Inc. * |
12,860 | 183,384 | ||||||
LendingClub Corp. * |
28,655 | 206,603 | ||||||
LendingTree, Inc. * |
3,022 | 80,567 | ||||||
Live Oak Bancshares, Inc. |
9,311 | 226,909 | ||||||
LTC Properties, Inc. REIT |
11,094 | 389,732 | ||||||
Luther Burbank Corp. |
4,448 | 42,167 | ||||||
LXP Industrial Trust REIT |
73,997 | 762,909 | ||||||
Macatawa Bank Corp. |
7,514 | 76,793 | ||||||
Macerich Co. REIT |
58,824 | 623,534 | ||||||
Marcus & Millichap, Inc. |
6,955 | 223,325 | ||||||
MBIA, Inc. * |
13,661 | 126,501 | ||||||
McGrath RentCorp |
6,653 | 620,791 | ||||||
Mercantile Bank Corp. |
4,061 | 124,185 | ||||||
Merchants Bancorp |
4,198 | 109,316 | ||||||
Mercury General Corp. |
7,482 | 237,479 | ||||||
Metrocity Bankshares, Inc. |
5,458 | 93,277 | ||||||
Metropolitan Bank Holding Corp. * |
2,787 | 94,451 | ||||||
MFA Financial, Inc. REIT |
28,869 | 286,380 | ||||||
Mid Penn Bancorp, Inc. |
4,078 | 104,438 |
|
|
|||||||
Midland States Bancorp, Inc. |
6,065 | $129,912 | ||||||
MidWestOne Financial Group, Inc. |
4,126 | 100,757 | ||||||
Moelis & Co. Class A |
17,370 | 667,703 | ||||||
Mr Cooper Group, Inc. * |
18,797 | 770,113 | ||||||
MVB Financial Corp. |
2,897 | 59,794 | ||||||
National Bank Holdings Corp. Class A |
7,737 | 258,880 | ||||||
National Health Investors, Inc. REIT |
11,339 | 584,866 | ||||||
National Western Life Group, Inc. Class A |
618 | 149,939 | ||||||
Navient Corp. |
27,674 | 442,507 | ||||||
NBT Bancorp, Inc. |
11,309 | 381,226 | ||||||
Necessity Retail REIT, Inc. REIT |
37,120 | 233,114 | ||||||
Nelnet, Inc. Class A |
4,061 | 373,165 | ||||||
NerdWallet, Inc. Class A * |
7,145 | 115,606 | ||||||
NETSTREIT Corp. REIT |
15,207 | 277,984 | ||||||
New York Mortgage Trust, Inc. REIT * |
25,592 | 254,896 | ||||||
Newmark Group, Inc. Class A |
38,156 | 270,144 | ||||||
Nexpoint Real Estate Finance, Inc. REIT |
1,781 | 27,908 | ||||||
NexPoint Residential Trust, Inc. REIT |
5,961 | 260,317 | ||||||
NI Holdings, Inc. * |
2,437 | 31,681 | ||||||
Nicolet Bankshares, Inc. * |
3,237 | 204,093 | ||||||
NMI Holdings, Inc. Class A * |
22,051 | 492,399 | ||||||
Northeast Bank |
1,878 | 63,213 | ||||||
Northfield Bancorp, Inc. |
10,985 | 129,403 | ||||||
Northwest Bancshares, Inc. |
32,331 | 388,942 | ||||||
OceanFirst Financial Corp. |
15,899 | 293,814 | ||||||
Offerpad Solutions, Inc. * |
19,220 | 10,129 | ||||||
Office Properties Income Trust REIT |
13,833 | 170,146 | ||||||
OFG Bancorp |
12,930 | 322,474 | ||||||
Old National Bancorp |
80,348 | 1,158,618 | ||||||
Old Second Bancorp, Inc. |
11,761 | 165,360 | ||||||
One Liberty Properties, Inc. REIT |
4,590 | 105,249 | ||||||
Oportun Financial Corp. * |
8,309 | 32,073 | ||||||
Oppenheimer Holdings, Inc. Class A |
2,365 | 92,590 | ||||||
OppFi, Inc. * |
2,693 | 5,521 | ||||||
Orchid Island Capital, Inc. REIT |
8,905 | 95,551 | ||||||
Origin Bancorp, Inc. |
6,361 | 204,506 | ||||||
Orion Office REIT, Inc. REIT |
15,895 | 106,497 | ||||||
Orrstown Financial Services, Inc. |
3,134 | 62,241 | ||||||
Outfront Media, Inc. REIT |
39,558 | 642,026 | ||||||
Pacific Premier Bancorp, Inc. |
24,843 | 596,729 | ||||||
Palomar Holdings, Inc. * |
6,634 | 366,197 | ||||||
Paramount Group, Inc. REIT |
47,763 | 217,799 | ||||||
Park National Corp. |
3,897 | 462,067 | ||||||
Parke Bancorp, Inc. |
3,261 | 57,981 | ||||||
Pathward Financial, Inc. |
7,274 | 301,798 | ||||||
PCB Bancorp |
3,596 | 52,106 | ||||||
Peapack-Gladstone Financial Corp. |
4,471 | 132,431 | ||||||
Pebblebrook Hotel Trust REIT |
36,102 | 506,872 | ||||||
PennyMac Financial Services, Inc. |
7,472 | 445,406 | ||||||
PennyMac Mortgage Investment Trust REIT |
24,429 | 301,210 | ||||||
Peoples Bancorp, Inc. |
7,263 | 187,022 | ||||||
Peoples Financial Services Corp. |
1,981 | 85,876 | ||||||
Perella Weinberg Partners |
10,327 | 93,976 | ||||||
Phillips Edison & Co., Inc. REIT |
32,364 | 1,055,714 | ||||||
Physicians Realty Trust REIT |
61,837 | 923,226 | ||||||
Piedmont Office Realty Trust, Inc. Class A REIT |
30,426 | 222,110 | ||||||
Pioneer Bancorp, Inc. * |
3,302 | 32,558 | ||||||
Piper Sandler Cos. |
4,727 | 655,209 | ||||||
PJT Partners, Inc. Class A |
6,391 | 461,366 | ||||||
Plymouth Industrial REIT, Inc. REIT |
10,352 | 217,496 | ||||||
Postal Realty Trust, Inc. Class A REIT |
5,575 | 84,852 | ||||||
PotlatchDeltic Corp. REIT |
21,748 | 1,076,526 | ||||||
PRA Group, Inc. * |
10,304 | 401,444 | ||||||
Preferred Bank |
2,729 | 149,576 | ||||||
Premier Financial Corp. |
9,188 | 190,467 | ||||||
Primis Financial Corp. |
6,934 | 66,774 | ||||||
ProAssurance Corp. |
15,153 | 280,027 | ||||||
Provident Bancorp, Inc. |
4,605 | 31,498 | ||||||
Provident Financial Services, Inc. |
19,430 | 372,667 | ||||||
QCR Holdings, Inc. |
4,401 | 193,248 | ||||||
Radian Group, Inc. |
42,876 | 947,560 | ||||||
Radius Global Infrastructure, Inc. Class A * |
21,153 | 310,315 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
136
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
RBB Bancorp |
4,055 | $62,853 | ||||||
RE/MAX Holdings, Inc. Class A |
5,257 | 98,621 | ||||||
Ready Capital Corp. REIT |
19,695 | 200,298 | ||||||
Red River Bancshares, Inc. |
1,395 | 67,113 | ||||||
Redfin Corp. * |
28,059 | 254,215 | ||||||
Redwood Trust, Inc. REIT |
29,869 | 201,317 | ||||||
Regional Management Corp. |
2,179 | 56,850 | ||||||
Renasant Corp. |
14,687 | 449,128 | ||||||
Republic Bancorp, Inc. Class A |
2,481 | 105,269 | ||||||
Republic First Bancorp, Inc. * |
12,170 | 16,551 | ||||||
Retail Opportunity Investments Corp. REIT |
31,028 | 433,151 | ||||||
RLI Corp. |
10,694 | 1,421,340 | ||||||
RLJ Lodging Trust REIT |
42,658 | 452,175 | ||||||
RMR Group, Inc. Class A |
4,232 | 111,048 | ||||||
Root, Inc. Class A * |
2,147 | 9,683 | ||||||
RPT Realty REIT |
23,181 | 220,451 | ||||||
Ryman Hospitality Properties, Inc. REIT |
14,693 | 1,318,403 | ||||||
S&T Bancorp, Inc. |
10,345 | 325,350 | ||||||
Sabra Health Care REIT, Inc. |
62,757 | 721,706 | ||||||
Safety Insurance Group, Inc. |
3,743 | 278,928 | ||||||
Sandy Spring Bancorp, Inc. |
11,460 | 297,731 | ||||||
Saul Centers, Inc. REIT |
3,363 | 131,157 | ||||||
Sculptor Capital Management, Inc. |
6,599 | 56,817 | ||||||
Seacoast Banking Corp. of Florida |
17,753 | 420,746 | ||||||
Selective Insurance Group, Inc. |
16,316 | 1,555,404 | ||||||
Selectquote, Inc. * |
38,528 | 83,606 | ||||||
Service Properties Trust REIT |
44,592 | 444,136 | ||||||
ServisFirst Bancshares, Inc. |
13,709 | 748,923 | ||||||
Shore Bancshares, Inc. |
5,478 | 78,226 | ||||||
Sierra Bancorp |
4,016 | 69,156 | ||||||
Silvercrest Asset Management Group, Inc. Class A |
2,703 | 49,141 | ||||||
Simmons First National Corp. Class A |
32,914 | 575,666 | ||||||
SiriusPoint Ltd. * (Bermuda) |
26,349 | 214,217 | ||||||
SITE Centers Corp. REIT |
52,075 | 639,481 | ||||||
Skyward Specialty Insurance Group, Inc. * |
1,994 | 43,609 | ||||||
SmartFinancial, Inc. |
3,979 | 92,074 | ||||||
South Plains Financial, Inc. |
2,964 | 63,459 | ||||||
Southern First Bancshares, Inc. * |
2,115 | 64,931 | ||||||
Southern Missouri Bancorp, Inc. |
2,222 | 83,125 | ||||||
Southside Bancshares, Inc. |
8,002 | 265,666 | ||||||
SouthState Corp. |
20,508 | 1,461,400 | ||||||
St. Joe Co. |
9,580 | 398,624 | ||||||
STAG Industrial, Inc. REIT |
49,453 | 1,672,500 | ||||||
Star Holdings * |
3,395 | 59,039 | ||||||
Stellar Bancorp, Inc. |
12,396 | 305,066 | ||||||
StepStone Group, Inc. Class A |
14,887 | 361,307 | ||||||
Sterling Bancorp, Inc. * |
5,290 | 29,941 | ||||||
Stewart Information Services Corp. |
7,525 | 303,634 | ||||||
Stock Yards Bancorp, Inc. |
7,873 | 434,117 | ||||||
StoneX Group, Inc. * |
4,838 | 500,878 | ||||||
Stratus Properties, Inc. |
1,416 | 28,320 | ||||||
Summit Financial Group, Inc. |
3,486 | 72,335 | ||||||
Summit Hotel Properties, Inc. REIT |
29,249 | 204,743 | ||||||
Sunlight Financial Holdings, Inc. * |
7,562 | 2,362 | ||||||
Sunstone Hotel Investors, Inc. REIT |
57,423 | 567,339 | ||||||
SWK Holdings Corp. * |
1,531 | 27,344 | ||||||
Tanger Factory Outlet Centers, Inc. REIT |
27,148 | 532,915 | ||||||
Terreno Realty Corp. REIT |
21,899 | 1,414,675 | ||||||
Texas Capital Bancshares, Inc. * |
13,250 | 648,720 | ||||||
Third Coast Bancshares, Inc. * |
3,504 | 55,048 | ||||||
Tiptree, Inc. |
6,469 | 94,253 | ||||||
Tompkins Financial Corp. |
3,821 | 252,988 | ||||||
Towne Bank |
19,054 | 507,789 | ||||||
TPG RE Finance Trust, Inc. REIT |
18,201 | 132,139 | ||||||
Transcontinental Realty Investors, Inc. REIT * |
349 | 14,794 | ||||||
Trean Insurance Group, Inc. * |
6,132 | 37,528 | ||||||
TriCo Bancshares |
8,442 | 351,103 | ||||||
Triumph Financial, Inc. * |
6,284 | 364,849 | ||||||
Trupanion, Inc. * |
10,516 | 451,031 | ||||||
TrustCo Bank Corp. |
5,333 | 170,336 | ||||||
Trustmark Corp. |
16,544 | 408,637 | ||||||
Two Harbors Investment Corp. REIT |
25,738 | 378,606 |
|
|
|||||||
UMB Financial Corp. |
12,141 | $700,779 | ||||||
UMH Properties, Inc. REIT |
14,325 | 211,867 | ||||||
United Bankshares, Inc. |
35,955 | 1,265,616 | ||||||
United Community Banks, Inc. |
28,350 | 797,202 | ||||||
United Fire Group, Inc. |
5,938 | 157,654 | ||||||
Uniti Group, Inc. REIT |
66,310 | 235,401 | ||||||
Unity Bancorp, Inc. |
2,261 | 51,573 | ||||||
Universal Health Realty Income Trust REIT |
3,362 | 161,746 | ||||||
Universal Insurance Holdings, Inc. |
6,721 | 122,457 | ||||||
Univest Financial Corp. |
8,159 | 193,695 | ||||||
Urban Edge Properties REIT |
30,102 | 453,336 | ||||||
Urstadt Biddle Properties, Inc. Class A REIT |
7,347 | 129,087 | ||||||
USCB Financial Holdings, Inc. * |
2,558 | 25,299 | ||||||
Valley National Bancorp |
117,672 | 1,087,289 | ||||||
Velocity Financial, Inc. * |
2,465 | 22,259 | ||||||
Veris Residential, Inc. REIT * |
23,949 | 350,613 | ||||||
Veritex Holdings, Inc. |
13,677 | 249,742 | ||||||
Victory Capital Holdings, Inc. Class A |
4,290 | 125,568 | ||||||
Virtus Investment Partners, Inc. |
1,849 | 352,031 | ||||||
Walker & Dunlop, Inc. |
8,291 | 631,525 | ||||||
Washington Federal, Inc. |
17,448 | 525,534 | ||||||
Washington Trust Bancorp, Inc. |
4,592 | 159,159 | ||||||
Waterstone Financial, Inc. |
5,473 | 82,806 | ||||||
WesBanco, Inc. |
15,303 | 469,802 | ||||||
West BanCorp, Inc. |
4,532 | 82,800 | ||||||
Westamerica BanCorp |
6,938 | 307,353 | ||||||
Whitestone REIT |
14,017 | 128,956 | ||||||
WisdomTree, Inc. |
37,968 | 222,492 | ||||||
World Acceptance Corp. * |
1,113 | 92,702 | ||||||
WSFS Financial Corp. |
16,763 | 630,456 | ||||||
Xenia Hotels & Resorts, Inc. REIT |
31,056 | 406,523 | ||||||
|
|
|||||||
133,702,805 | ||||||||
|
|
|||||||
Industrial - 14.6% |
| |||||||
908 Devices, Inc. * |
6,002 | 51,617 | ||||||
AAON, Inc. |
11,974 | 1,157,766 | ||||||
AAR Corp. * |
8,890 | 484,949 | ||||||
Advanced Energy Industries, Inc. |
10,220 | 1,001,560 | ||||||
Aerojet Rocketdyne Holdings, Inc. * |
21,710 | 1,219,451 | ||||||
AeroVironment, Inc. * |
6,626 | 607,339 | ||||||
AerSale Corp. * |
7,056 | 121,504 | ||||||
AEye, Inc. * |
36,289 | 11,424 | ||||||
Air Transport Services Group, Inc. * |
15,337 | 319,470 | ||||||
Akoustis Technologies, Inc. * |
13,687 | 42,156 | ||||||
Alamo Group, Inc. |
2,728 | 502,388 | ||||||
Albany International Corp. Class A |
8,499 | 759,471 | ||||||
Allied Motion Technologies, Inc. |
3,446 | 133,188 | ||||||
American Woodmark Corp. * |
4,645 | 241,865 | ||||||
AMMO, Inc. * |
24,273 | 47,818 | ||||||
Apogee Enterprises, Inc. |
5,639 | 243,887 | ||||||
Applied Industrial Technologies, Inc. |
10,458 | 1,486,396 | ||||||
ArcBest Corp. |
6,566 | 606,830 | ||||||
Archer Aviation, Inc. Class A * |
38,942 | 111,374 | ||||||
Arcosa, Inc. |
13,155 | 830,212 | ||||||
Ardmore Shipping Corp. (Ireland) |
10,774 | 160,209 | ||||||
Argan, Inc. |
3,217 | 130,192 | ||||||
Astec Industries, Inc. |
6,382 | 263,258 | ||||||
Astra Space, Inc. * |
41,037 | 17,441 | ||||||
Astronics Corp. * |
6,683 | 89,285 | ||||||
Atkore, Inc. * |
10,737 | 1,508,334 | ||||||
Atlas Technical Consultants, Inc. * |
4,893 | 59,646 | ||||||
Babcock & Wilcox Enterprises, Inc. * |
15,816 | 95,845 | ||||||
Badger Meter, Inc. |
7,995 | 973,951 | ||||||
Barnes Group, Inc. |
13,021 | 524,486 | ||||||
Belden, Inc. |
11,601 | 1,006,619 | ||||||
Benchmark Electronics, Inc. |
9,797 | 232,091 | ||||||
Berkshire Grey, Inc. * |
14,515 | 20,031 | ||||||
Blink Charging Co. * |
10,403 | 89,986 | ||||||
Bloom Energy Corp. Class A * |
48,936 | 975,294 | ||||||
Boise Cascade Co. |
10,660 | 674,245 | ||||||
Brady Corp. Class A |
12,274 | 659,482 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
137
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
Cactus, Inc. Class A |
17,121 | $705,899 | ||||||
Cadre Holdings, Inc. |
5,135 | 110,608 | ||||||
Caesarstone Ltd. |
6,257 | 25,841 | ||||||
Casella Waste Systems, Inc. Class A * |
13,611 | 1,125,085 | ||||||
Centrus Energy Corp. Class A * |
2,692 | 86,682 | ||||||
Charge Enterprises, Inc. * |
35,341 | 38,875 | ||||||
Chart Industries, Inc. * |
11,614 | 1,456,396 | ||||||
Chase Corp. |
2,138 | 223,913 | ||||||
CIRCOR International, Inc. * |
5,191 | 161,544 | ||||||
Clearwater Paper Corp. * |
4,741 | 158,444 | ||||||
Columbus McKinnon Corp. |
7,211 | 267,961 | ||||||
Comfort Systems USA, Inc. |
9,695 | 1,415,082 | ||||||
Comtech Telecommunications Corp. |
7,330 | 91,478 | ||||||
Concrete Pumping Holdings, Inc. * |
7,352 | 49,994 | ||||||
Construction Partners, Inc. Class A * |
11,205 | 301,863 | ||||||
Costamare, Inc. (Monaco) |
14,551 | 136,925 | ||||||
Covenant Logistics Group, Inc. |
2,358 | 83,520 | ||||||
CryoPort, Inc. * |
12,389 | 297,336 | ||||||
CSW Industrials, Inc. |
3,993 | 554,747 | ||||||
CTS Corp. |
8,529 | 421,844 | ||||||
Daseke, Inc. * |
11,415 | 88,238 | ||||||
DHT Holdings, Inc. |
37,261 | 402,791 | ||||||
Dorian LPG Ltd. |
8,850 | 176,469 | ||||||
Ducommun, Inc. * |
2,897 | 158,495 | ||||||
DXP Enterprises, Inc. * |
4,005 | 107,815 | ||||||
Dycom Industries, Inc. * |
7,855 | 735,621 | ||||||
Eagle Bulk Shipping, Inc. |
3,708 | 168,714 | ||||||
Eastman Kodak Co. * |
16,400 | 67,240 | ||||||
EMCOR Group, Inc. |
12,905 | 2,098,224 | ||||||
Encore Wire Corp. |
4,806 | 890,696 | ||||||
Energizer Holdings, Inc. |
19,171 | 665,234 | ||||||
Energy Recovery, Inc. * |
15,179 | 349,876 | ||||||
Enerpac Tool Group Corp. |
15,642 | 398,871 | ||||||
EnerSys |
11,116 | 965,758 | ||||||
Enovix Corp. * |
30,449 | 453,995 | ||||||
EnPro Industries, Inc. |
5,623 | 584,173 | ||||||
ESCO Technologies, Inc. |
7,031 | 671,109 | ||||||
ESS Tech, Inc. * |
22,363 | 31,085 | ||||||
Evolv Technologies Holdings, Inc. * |
22,559 | 70,384 | ||||||
Evoqua Water Technologies Corp. * |
32,039 | 1,592,979 | ||||||
Exponent, Inc. |
13,864 | 1,382,102 | ||||||
Fabrinet * (Thailand) |
10,094 | 1,198,763 | ||||||
FARO Technologies, Inc. * |
5,229 | 128,686 | ||||||
Federal Signal Corp. |
16,428 | 890,562 | ||||||
FLEX LNG Ltd. * (Norway) |
7,906 | 265,483 | ||||||
Fluor Corp. * |
38,792 | 1,199,061 | ||||||
Forward Air Corp. |
7,354 | 792,467 | ||||||
Franklin Electric Co., Inc. |
12,592 | 1,184,907 | ||||||
Frontdoor, Inc. * |
22,410 | 624,791 | ||||||
Frontline PLC (Norway) |
34,039 | 563,686 | ||||||
GATX Corp. |
9,535 | 1,049,041 | ||||||
Genco Shipping & Trading Ltd. |
10,245 | 160,437 | ||||||
Gibraltar Industries, Inc. * |
8,614 | 417,779 | ||||||
Golden Ocean Group Ltd. * (Norway) |
34,268 | 326,231 | ||||||
GoPro, Inc. Class A * |
36,282 | 182,498 | ||||||
Gorman-Rupp Co. |
6,529 | 163,225 | ||||||
GrafTech International Ltd. |
54,669 | 265,691 | ||||||
Granite Construction, Inc. |
11,934 | 490,249 | ||||||
Great Lakes Dredge & Dock Corp. * |
18,291 | 99,320 | ||||||
Greenbrier Cos., Inc. |
8,915 | 286,796 | ||||||
Greif, Inc. Class A |
6,792 | 430,409 | ||||||
Greif, Inc. Class B |
1,595 | 122,049 | ||||||
Griffon Corp. |
11,848 | 379,254 | ||||||
Harsco Corp. * |
22,315 | 152,411 | ||||||
Heartland Express, Inc. |
12,942 | 206,037 | ||||||
Helios Technologies, Inc. |
8,771 | 573,623 | ||||||
Heritage-Crystal Clean, Inc. * |
4,452 | 158,536 | ||||||
Hillenbrand, Inc. |
18,850 | 895,940 | ||||||
Hillman Solutions Corp. * |
37,069 | 312,121 | ||||||
Hub Group, Inc. Class A * |
8,742 | 733,803 | ||||||
Hydrofarm Holdings Group, Inc. * |
11,190 | 19,359 | ||||||
Hyster-Yale Materials Handling, Inc. |
2,847 | 142,037 |
|
|
|||||||
Ichor Holdings Ltd. * |
7,973 | $261,036 | ||||||
Identiv, Inc. * |
5,886 | 36,140 | ||||||
IES Holdings, Inc. * |
2,461 | 106,044 | ||||||
Insteel Industries, Inc. |
5,299 | 147,418 | ||||||
International Seaways, Inc. |
13,199 | 550,134 | ||||||
Itron, Inc. * |
12,255 | 679,540 | ||||||
Janus International Group, Inc. * |
22,097 | 217,876 | ||||||
JELD-WEN Holding, Inc. * |
21,982 | 278,292 | ||||||
Joby Aviation, Inc. * |
70,674 | 306,725 | ||||||
John Bean Technologies Corp. |
8,596 | 939,457 | ||||||
Kadant, Inc. |
3,154 | 657,672 | ||||||
Kaman Corp. |
7,854 | 179,542 | ||||||
Karat Packaging, Inc. |
1,306 | 17,409 | ||||||
Kennametal, Inc. |
21,694 | 598,321 | ||||||
Kimball Electronics, Inc. * |
6,838 | 164,796 | ||||||
Knowles Corp. * |
24,139 | 410,363 | ||||||
Kratos Defense & Security Solutions, Inc. * |
33,181 | 447,280 | ||||||
Latham Group, Inc. * |
12,303 | 35,187 | ||||||
Li-Cycle Holdings Corp. * (Canada) |
38,046 | 214,199 | ||||||
Lindsay Corp. |
2,958 | 447,043 | ||||||
LSB Industries, Inc. * |
20,528 | 212,054 | ||||||
Luxfer Holdings PLC (United Kingdom) |
7,978 | 134,828 | ||||||
Manitowoc Co., Inc. * |
9,869 | 168,661 | ||||||
Marten Transport Ltd. |
15,506 | 324,851 | ||||||
Masonite International Corp. * |
5,971 | 541,988 | ||||||
Materion Corp. |
5,551 | 643,916 | ||||||
Matson, Inc. |
10,082 | 601,593 | ||||||
Mesa Laboratories, Inc. |
1,427 | 249,340 | ||||||
MicroVision, Inc. * |
47,491 | 126,801 | ||||||
Mirion Technologies, Inc. * |
37,506 | 320,301 | ||||||
Modine Manufacturing Co. * |
13,216 | 304,629 | ||||||
Momentus, Inc. * |
14,804 | 8,660 | ||||||
Montrose Environmental Group, Inc. * |
7,599 | 271,056 | ||||||
Moog, Inc. Class A |
7,899 | 795,824 | ||||||
Mueller Industries, Inc. |
15,179 | 1,115,353 | ||||||
Mueller Water Products, Inc. Class A |
42,897 | 597,984 | ||||||
Myers Industries, Inc. |
9,513 | 203,864 | ||||||
MYR Group, Inc. * |
4,452 | 560,997 | ||||||
Napco Security Technologies, Inc. * |
8,336 | 313,267 | ||||||
National Presto Industries, Inc. |
1,278 | 92,131 | ||||||
NEXTracker, Inc. Class A * |
8,268 | 299,798 | ||||||
NL Industries, Inc. |
2,103 | 12,744 | ||||||
nLight, Inc. * |
12,119 | 123,371 | ||||||
Nordic American Tankers Ltd. |
54,274 | 214,925 | ||||||
Northwest Pipe Co. * |
2,663 | 83,165 | ||||||
Novanta, Inc. * |
9,714 | 1,545,400 | ||||||
NuScale Power Corp. * |
8,574 | 77,938 | ||||||
NV5 Global, Inc. * |
3,614 | 375,748 | ||||||
O-I Glass, Inc. * |
42,008 | 954,002 | ||||||
Olympic Steel, Inc. |
2,532 | 132,196 | ||||||
Omega Flex, Inc. |
916 | 102,079 | ||||||
OSI Systems, Inc. * |
4,334 | 443,628 | ||||||
Pactiv Evergreen, Inc. |
12,227 | 97,816 | ||||||
PAM Transportation Services, Inc. * |
2,014 | 57,661 | ||||||
Park Aerospace Corp. |
5,378 | 72,334 | ||||||
PGT Innovations, Inc. * |
15,353 | 385,514 | ||||||
Plexus Corp. * |
7,432 | 725,140 | ||||||
Powell Industries, Inc. |
2,698 | 114,908 | ||||||
Primoris Services Corp. |
14,675 | 361,886 | ||||||
Proto Labs, Inc. * |
7,484 | 248,095 | ||||||
Pure Cycle Corp. * |
5,726 | 54,111 | ||||||
PureCycle Technologies, Inc. * |
29,874 | 209,118 | ||||||
Radiant Logistics, Inc. * |
11,157 | 73,190 | ||||||
Ranpak Holdings Corp. * |
10,823 | 56,496 | ||||||
RBC Bearings, Inc. * |
7,775 | 1,809,476 | ||||||
Redwire Corp. * |
6,759 | 20,480 | ||||||
Rocket Lab USA, Inc. * |
60,053 | 242,614 | ||||||
Ryerson Holding Corp. |
5,165 | 187,903 | ||||||
Safe Bulkers, Inc. (Greece) |
19,002 | 70,117 | ||||||
Saia, Inc. * |
7,241 | 1,970,131 | ||||||
Sanmina Corp. * |
15,612 | 952,176 | ||||||
Sarcos Technology & Robotics Corp. * |
29,082 | 13,805 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
138
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
Scorpio Tankers, Inc. (Monaco) |
12,789 | $720,149 | ||||||
SFL Corp. Ltd. (Norway) |
31,383 | 298,139 | ||||||
Sight Sciences, Inc. * |
6,414 | 56,058 | ||||||
Simpson Manufacturing Co., Inc. |
11,622 | 1,274,236 | ||||||
SmartRent, Inc. * |
33,349 | 85,040 | ||||||
Smith & Wesson Brands, Inc. |
12,689 | 156,202 | ||||||
SPX Technologies, Inc. * |
11,973 | 845,054 | ||||||
Standex International Corp. |
3,173 | 388,502 | ||||||
Sterling Infrastructure, Inc. * |
7,997 | 302,926 | ||||||
Stoneridge, Inc. * |
7,629 | 142,662 | ||||||
Sturm Ruger & Co., Inc. |
4,755 | 273,127 | ||||||
Summit Materials, Inc. Class A * |
32,336 | 921,253 | ||||||
Teekay Corp. * (Bermuda) |
19,788 | 122,290 | ||||||
Teekay Tankers Ltd. Class A * (Canada) |
6,129 | 263,118 | ||||||
Tennant Co. |
4,844 | 331,959 | ||||||
Terex Corp. |
18,194 | 880,226 | ||||||
Thermon Group Holdings, Inc. * |
9,371 | 233,525 | ||||||
TimkenSteel Corp. * |
11,882 | 217,916 | ||||||
Transphorm, Inc. * |
5,790 | 23,102 | ||||||
Tredegar Corp. |
7,911 | 72,227 | ||||||
TriMas Corp. |
11,117 | 309,720 | ||||||
Trinity Industries, Inc. |
22,151 | 539,598 | ||||||
Triumph Group, Inc. * |
17,961 | 208,168 | ||||||
TTM Technologies, Inc. * |
27,907 | 376,465 | ||||||
Turtle Beach Corp. * |
4,263 | 42,715 | ||||||
Tutor Perini Corp. * |
11,284 | 69,622 | ||||||
UFP Industries, Inc. |
16,274 | 1,293,295 | ||||||
Universal Logistics Holdings, Inc. |
1,745 | 50,867 | ||||||
Vicor Corp. * |
6,066 | 284,738 | ||||||
View, Inc. * |
34,012 | 17,006 | ||||||
Vishay Intertechnology, Inc. |
35,739 | 808,416 | ||||||
Vishay Precision Group, Inc. * |
3,263 | 136,263 | ||||||
Watts Water Technologies, Inc. Class A |
7,436 | 1,251,628 | ||||||
Werner Enterprises, Inc. |
17,306 | 787,250 | ||||||
Worthington Industries, Inc. |
8,659 | 559,804 | ||||||
Xometry, Inc. Class A * |
9,527 | 142,619 | ||||||
Zurn Elkay Water Solutions Corp. |
33,652 | 718,807 | ||||||
|
|
|||||||
93,225,447 | ||||||||
|
|
|||||||
Technology - 10.4% |
| |||||||
3D Systems Corp. * |
33,692 | 361,178 | ||||||
8x8, Inc. * |
29,941 | 124,854 | ||||||
ACI Worldwide, Inc. * |
30,575 | 824,913 | ||||||
ACM Research, Inc. Class A * |
13,302 | 155,633 | ||||||
ACV Auctions, Inc. Class A * |
31,905 | 411,894 | ||||||
Adeia, Inc. |
29,025 | 257,162 | ||||||
Agilysys, Inc. * |
5,498 | 453,640 | ||||||
Alignment Healthcare, Inc. * |
27,540 | 175,154 | ||||||
Alkami Technology, Inc. * |
10,533 | 133,348 | ||||||
Alpha & Omega Semiconductor Ltd. * |
6,115 | 164,799 | ||||||
Altair Engineering, Inc. Class A * |
14,229 | 1,026,053 | ||||||
Ambarella, Inc. * |
10,000 | 774,200 | ||||||
American Software, Inc. Class A |
8,132 | 102,545 | ||||||
Amkor Technology, Inc. |
27,655 | 719,583 | ||||||
Amplitude, Inc. Class A * |
15,782 | 196,328 | ||||||
Apollo Medical Holdings, Inc. * |
10,836 | 395,189 | ||||||
Appfolio, Inc. Class A * |
5,301 | 659,868 | ||||||
Appian Corp. Class A * |
10,863 | 482,100 | ||||||
Arteris, Inc. * |
5,296 | 22,402 | ||||||
Asana, Inc. Class A * |
19,700 | 416,261 | ||||||
Atomera, Inc. * |
6,243 | 39,768 | ||||||
AvePoint, Inc. * |
35,515 | 146,322 | ||||||
Avid Technology, Inc. * |
9,399 | 300,580 | ||||||
AvidXchange Holdings, Inc. * |
38,970 | 303,966 | ||||||
Axcelis Technologies, Inc. * |
8,854 | 1,179,795 | ||||||
AXT, Inc. * |
11,917 | 47,430 | ||||||
Bandwidth, Inc. Class A * |
6,640 | 100,928 | ||||||
BigCommerce Holdings, Inc. * |
18,308 | 163,674 | ||||||
Blackbaud, Inc. * |
12,687 | 879,209 | ||||||
Blackline, Inc. * |
15,072 | 1,012,085 | ||||||
Blend Labs, Inc. Class A * |
51,984 | 51,786 |
|
|
|||||||
Box, Inc. Class A * |
38,197 | $1,023,298 | ||||||
Brightcove, Inc. * |
12,051 | 53,627 | ||||||
C3.ai, Inc. Class A * |
16,183 | 543,263 | ||||||
Cantaloupe, Inc. * |
16,603 | 94,637 | ||||||
Cardlytics, Inc. * |
9,074 | 30,806 | ||||||
Cerberus Cyber Sentinel Corp. * |
12,986 | 4,389 | ||||||
Cerence, Inc. * |
11,241 | 315,760 | ||||||
CEVA, Inc. * |
6,475 | 197,034 | ||||||
Clear Secure, Inc. Class A |
17,582 | 460,121 | ||||||
Cohu, Inc. * |
12,683 | 486,900 | ||||||
CommVault Systems, Inc. * |
12,157 | 689,788 | ||||||
Computer Programs & Systems, Inc. * |
4,031 | 121,736 | ||||||
Conduent, Inc. * |
47,287 | 162,194 | ||||||
Consensus Cloud Solutions, Inc. * |
5,162 | 175,973 | ||||||
Corsair Gaming, Inc. * |
10,756 | 197,373 | ||||||
CS Disco, Inc. * |
6,360 | 42,230 | ||||||
CSG Systems International, Inc. |
8,367 | 449,308 | ||||||
Cvent Holding Corp. * |
13,601 | 113,704 | ||||||
Daily Journal Corp. * |
344 | 98,026 | ||||||
Desktop Metal, Inc. Class A * |
74,045 | 170,304 | ||||||
Diebold Nixdorf, Inc. * |
20,849 | 25,019 | ||||||
Digi International, Inc. * |
9,707 | 326,932 | ||||||
Digimarc Corp. * |
3,820 | 75,063 | ||||||
Digital Turbine, Inc. * |
24,758 | 306,009 | ||||||
DigitalOcean Holdings, Inc. * |
18,954 | 742,428 | ||||||
Diodes, Inc. * |
12,167 | 1,128,611 | ||||||
Domo, Inc. Class B * |
8,752 | 124,191 | ||||||
Donnelley Financial Solutions, Inc. * |
6,807 | 278,134 | ||||||
Duolingo, Inc. * |
6,620 | 943,946 | ||||||
E2open Parent Holdings, Inc. * |
53,117 | 309,141 | ||||||
Ebix, Inc. |
7,481 | 98,674 | ||||||
eGain Corp. * |
5,873 | 44,576 | ||||||
Enfusion, Inc. Class A * |
7,114 | 74,697 | ||||||
EngageSmart, Inc. * |
10,024 | 192,962 | ||||||
Envestnet, Inc. * |
14,895 | 873,890 | ||||||
Everbridge, Inc. * |
10,638 | 368,819 | ||||||
EverCommerce, Inc. * |
6,233 | 65,945 | ||||||
Evolent Health, Inc. Class A * |
22,260 | 722,337 | ||||||
ExlService Holdings, Inc. * |
8,843 | 1,431,063 | ||||||
Faraday Future Intelligent Electric, Inc. * |
127,442 | 45,127 | ||||||
Fastly, Inc. Class A * |
30,618 | 543,776 | ||||||
ForgeRock, Inc. Class A * |
11,850 | 244,110 | ||||||
FormFactor, Inc. * |
20,913 | 666,079 | ||||||
Grid Dynamics Holdings, Inc. * |
15,267 | 174,960 | ||||||
Health Catalyst, Inc. * |
15,442 | 180,208 | ||||||
HireRight Holdings Corp. * |
5,970 | 63,342 | ||||||
IBEX Holdings Ltd. * |
2,665 | 65,026 | ||||||
Impinj, Inc. * |
5,913 | 801,330 | ||||||
Insight Enterprises, Inc. * |
8,632 | 1,234,031 | ||||||
Inspired Entertainment, Inc. * |
5,923 | 75,755 | ||||||
Instructure Holdings, Inc. * |
4,867 | 126,055 | ||||||
Intapp, Inc. * |
4,189 | 187,835 | ||||||
Integral Ad Science Holding Corp. * |
10,995 | 156,899 | ||||||
IonQ, Inc. * |
33,681 | 207,138 | ||||||
IronNet, Inc. * |
18,125 | 6,373 | ||||||
Kaleyra, Inc. * (Italy) |
2,647 | 4,368 | ||||||
Kulicke & Soffa Industries, Inc. (Singapore) |
15,197 | 800,730 | ||||||
Latch, Inc. * |
25,273 | 19,261 | ||||||
LivePerson, Inc. * |
20,407 | 89,995 | ||||||
LiveVox Holdings, Inc. * |
4,002 | 12,366 | ||||||
MACOM Technology Solutions Holdings, Inc. * |
14,775 | 1,046,661 | ||||||
Markforged Holding Corp. * |
30,345 | 29,095 | ||||||
Matterport, Inc. * |
62,120 | 169,588 | ||||||
Maximus, Inc. |
16,489 | 1,297,684 | ||||||
MaxLinear, Inc. * |
19,672 | 692,651 | ||||||
MeridianLink, Inc. * |
6,513 | 112,675 | ||||||
MicroStrategy, Inc. Class A * |
2,620 | 765,878 | ||||||
Mitek Systems, Inc. * |
12,097 | 116,010 | ||||||
Model N, Inc. * |
10,009 | 335,001 | ||||||
Momentive Global, Inc. * |
35,080 | 326,946 | ||||||
N-Able, Inc. * |
18,794 | 248,081 | ||||||
NetScout Systems, Inc. * |
18,384 | 526,702 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
139
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
|
|
|||||||
NextGen Healthcare, Inc. * |
14,849 | $258,521 | ||||||
NextNav, Inc. * |
17,389 | 35,300 | ||||||
Nutex Health, Inc. * |
68,617 | 69,303 | ||||||
Olo, Inc. Class A * |
25,454 | 207,705 | ||||||
ON24, Inc. * |
11,692 | 102,422 | ||||||
OneSpan, Inc. * |
10,665 | 186,638 | ||||||
Onto Innovation, Inc. * |
13,517 | 1,187,874 | ||||||
Ouster, Inc. * |
68,759 | 57,531 | ||||||
Outbrain, Inc. * |
11,464 | 47,346 | ||||||
Outset Medical, Inc. * |
12,778 | 235,115 | ||||||
PagerDuty, Inc. * |
23,478 | 821,260 | ||||||
PAR Technology Corp. * |
7,150 | 242,814 | ||||||
Parsons Corp. * |
9,339 | 417,827 | ||||||
PDF Solutions, Inc. * |
8,366 | 354,718 | ||||||
Pear Therapeutics, Inc. * |
16,282 | 4,152 | ||||||
Photronics, Inc. * |
15,785 | 261,715 | ||||||
Phreesia, Inc. * |
13,273 | 428,585 | ||||||
Pitney Bowes, Inc. |
36,845 | 143,327 | ||||||
Playstudios, Inc. * |
21,641 | 79,855 | ||||||
Porch Group, Inc. * |
22,166 | 31,697 | ||||||
Power Integrations, Inc. |
15,501 | 1,312,005 | ||||||
PowerSchool Holdings, Inc. Class A * |
12,660 | 250,921 | ||||||
Privia Health Group, Inc. * |
13,891 | 383,531 | ||||||
Progress Software Corp. |
11,979 | 688,194 | ||||||
PROS Holdings, Inc. * |
11,491 | 314,853 | ||||||
PubMatic, Inc. Class A * |
11,723 | 162,012 | ||||||
Qualys, Inc. * |
10,528 | 1,368,851 | ||||||
Rackspace Technology, Inc. * |
15,323 | 28,807 | ||||||
Rambus, Inc. * |
29,245 | 1,499,099 | ||||||
Rapid7, Inc. * |
16,058 | 737,223 | ||||||
Red Violet, Inc. * |
2,399 | 42,222 | ||||||
Rigetti Computing, Inc. Class A * |
29,356 | 21,236 | ||||||
Rimini Street, Inc. * |
12,495 | 51,479 | ||||||
Sapiens International Corp. NV (Israel) |
8,792 | 190,962 | ||||||
Schrodinger, Inc. * |
14,550 | 383,102 | ||||||
SecureWorks Corp. Class A * |
3,091 | 26,490 | ||||||
Semtech Corp. * |
16,941 | 408,956 | ||||||
Sharecare, Inc. * |
79,589 | 113,016 | ||||||
Silicon Laboratories, Inc. * |
8,643 | 1,513,303 | ||||||
Simulations Plus, Inc. |
4,480 | 196,851 | ||||||
SiTime Corp. * |
4,466 | 635,199 | ||||||
Skillsoft Corp. * |
22,120 | 44,240 | ||||||
Skillz, Inc. * |
86,751 | 51,461 | ||||||
SkyWater Technology, Inc. * |
2,918 | 33,207 | ||||||
SMART Global Holdings, Inc. * |
12,847 | 221,482 | ||||||
SolarWinds Corp. * |
13,154 | 113,124 | ||||||
Sprout Social, Inc. Class A * |
12,763 | 777,011 | ||||||
SPS Commerce, Inc. * |
9,939 | 1,513,710 | ||||||
Sumo Logic, Inc. * |
31,433 | 376,567 | ||||||
Super Micro Computer, Inc. * |
12,739 | 1,357,340 | ||||||
Synaptics, Inc. * |
10,758 | 1,195,752 | ||||||
Telos Corp. * |
15,266 | 38,623 | ||||||
Tenable Holdings, Inc. * |
30,486 | 1,448,390 | ||||||
TTEC Holdings, Inc. |
5,268 | 196,128 | ||||||
Ultra Clean Holdings, Inc. * |
12,071 | 400,274 | ||||||
Unisys Corp. * |
18,871 | 73,219 | ||||||
Upland Software, Inc. * |
8,046 | 34,598 | ||||||
Varonis Systems, Inc. * |
29,106 | 757,047 | ||||||
Veeco Instruments, Inc. * |
13,152 | 277,902 | ||||||
Velo3D, Inc. * |
16,740 | 38,000 | ||||||
Veradigm, Inc. * |
29,643 | 386,841 | ||||||
Verint Systems, Inc. * |
17,944 | 668,235 | ||||||
Veritone, Inc. * |
8,078 | 47,095 | ||||||
Verra Mobility Corp. * |
38,212 | 646,547 | ||||||
Viant Technology, Inc. Class A * |
3,169 | 13,785 | ||||||
Vimeo, Inc. * |
40,522 | 155,199 | ||||||
Vuzix Corp. * |
16,544 | 68,492 | ||||||
Weave Communications, Inc. * |
8,134 | 40,426 | ||||||
WM Technology, Inc. * |
20,230 | 17,179 | ||||||
Workiva, Inc. * |
13,016 | 1,332,969 | ||||||
Xerox Holdings Corp. |
31,584 | 486,394 | ||||||
Yext, Inc. * |
29,752 | 285,917 |
|
|
|||||||
Zeta Global Holdings Corp. Class A * |
30,186 | $ 326,914 | ||||||
Zuora, Inc. Class A * |
33,930 | 335,228 | ||||||
|
|
|||||||
66,278,604 | ||||||||
|
|
|||||||
Utilities - 3.3% |
| |||||||
ALLETE, Inc. |
15,597 | 1,003,979 | ||||||
Altus Power, Inc. * |
24,359 | 133,487 | ||||||
Ameresco, Inc. Class A * |
8,514 | 419,059 | ||||||
American States Water Co. |
10,072 | 895,300 | ||||||
Artesian Resources Corp. Class A |
2,171 | 120,187 | ||||||
Avista Corp. |
19,936 | 846,283 | ||||||
Black Hills Corp. |
17,724 | 1,118,384 | ||||||
Brookfield Infrastructure Corp. Class A (Canada) |
26,758 | 1,232,474 | ||||||
California Water Service Group |
14,792 | 860,894 | ||||||
Chesapeake Utilities Corp. |
4,725 | 604,753 | ||||||
Clearway Energy, Inc. Class A |
9,933 | 298,288 | ||||||
Clearway Energy, Inc. Class C |
22,029 | 690,169 | ||||||
FTC Solar, Inc. * |
11,755 | 26,449 | ||||||
Global Water Resources, Inc. |
4,109 | 51,075 | ||||||
MGE Energy, Inc. |
9,930 | 771,263 | ||||||
Middlesex Water Co. |
4,661 | 364,117 | ||||||
New Jersey Resources Corp. |
26,392 | 1,404,054 | ||||||
Northwest Natural Holding Co. |
9,197 | 437,409 | ||||||
NorthWestern Corp. |
15,865 | 917,949 | ||||||
ONE Gas, Inc. |
14,639 | 1,159,848 | ||||||
Ormat Technologies, Inc. |
14,302 | 1,212,381 | ||||||
Otter Tail Corp. |
11,200 | 809,424 | ||||||
PNM Resources, Inc. |
23,313 | 1,134,877 | ||||||
Portland General Electric Co. |
24,453 | 1,195,507 | ||||||
SJW Group |
7,247 | 551,714 | ||||||
Southwest Gas Holdings, Inc. * |
18,229 | 1,138,401 | ||||||
Spire, Inc. |
13,911 | 975,718 | ||||||
Unitil Corp. |
4,486 | 255,881 | ||||||
Via Renewables, Inc. * |
781 | 14,355 | ||||||
York Water Co. |
3,936 | 175,939 | ||||||
|
|
|||||||
20,819,618 | ||||||||
|
|
|||||||
Total Common Stocks |
629,408,228 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.8% |
| |||||||
Repurchase Agreement - 0.8% |
| |||||||
Fixed Income Clearing Corp. |
$5,207,568 | 5,207,568 | ||||||
|
|
|||||||
Total Short-Term Investment |
5,207,568 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.7% |
634,625,843 | |||||||
|
|
|||||||
DERIVATIVES - 0.1% |
173,156 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.2% |
|
1,543,618 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$636,342,617 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
140
PACIFIC SELECT FUND
SMALL-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $10,025 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||
Russell 2000 E-Mini Index |
06/23 | 72 | $6,355,444 | $6,528,600 | $173,156 | |||||||||||||
|
|
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Rights |
|||||||||||||||||
Basic Materials |
$22 | $22 | $- | $- | ||||||||||||||
Consumer, Non-Cyclical |
10,025 | - | - | 10,025 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Rights |
10,047 | 22 | - | 10,025 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Common Stocks |
||||||||||||||||||
Basic Materials |
23,507,318 | 23,507,318 | - | - | ||||||||||||||
Communications |
25,599,652 | 25,599,652 | - | - | ||||||||||||||
Consumer, Cyclical |
77,675,527 | 77,675,527 | - | - | ||||||||||||||
Consumer, Non-Cyclical |
147,999,580 | 147,848,618 | 150,962 | - | ||||||||||||||
Energy |
40,599,677 | 40,599,677 | - | - | ||||||||||||||
Financial |
133,702,805 | 133,702,805 | - | - | ||||||||||||||
Industrial |
93,225,447 | 93,225,447 | - | - | ||||||||||||||
Technology |
66,278,604 | 66,278,604 | - | - | ||||||||||||||
Utilities |
20,819,618 | 20,819,618 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
629,408,228 | 629,257,266 | 150,962 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment |
5,207,568 | - | 5,207,568 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
173,156 | 173,156 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$634,798,999 | $629,430,444 | $5,358,530 | $10,025 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
141
PACIFIC SELECT FUND
SMALL-CAP VALUE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.6% |
| |||||||
Basic Materials - 4.2% |
| |||||||
AdvanSix, Inc. |
97,980 | $3,749,695 | ||||||
ATI, Inc. * |
95,799 | 3,780,228 | ||||||
Haynes International, Inc. |
74,304 | 3,721,887 | ||||||
HB Fuller Co. |
47,062 | 3,221,394 | ||||||
Innospec, Inc. |
2,452 | 251,747 | ||||||
|
|
|||||||
14,724,951 | ||||||||
|
|
|||||||
Communications - 2.7% |
| |||||||
A10 Networks, Inc. |
251,872 | 3,901,497 | ||||||
Casa Systems, Inc. * |
562,061 | 713,818 | ||||||
Criteo SA ADR * (France) |
152,943 | 4,818,469 | ||||||
|
|
|||||||
9,433,784 | ||||||||
|
|
|||||||
Consumer, Cyclical - 20.1% |
| |||||||
Alaska Air Group, Inc. * |
88,270 | 3,703,809 | ||||||
Blue Bird Corp. * |
198,926 | 4,064,058 | ||||||
Citi Trends, Inc. * |
111,879 | 2,127,939 | ||||||
Dana, Inc. |
222,618 | 3,350,401 | ||||||
Dine Brands Global, Inc. |
57,115 | 3,863,259 | ||||||
Genesco, Inc. * |
82,040 | 3,025,635 | ||||||
Goodyear Tire & Rubber Co. * |
355,884 | 3,921,842 | ||||||
H&E Equipment Services, Inc. |
67,232 | 2,973,671 | ||||||
Hilton Grand Vacations, Inc. * |
104,826 | 4,657,419 | ||||||
IMAX Corp. * |
197,410 | 3,786,324 | ||||||
KB Home |
146,191 | 5,873,954 | ||||||
Papa Johns International, Inc. |
45,791 | 3,431,120 | ||||||
REV Group, Inc. |
378,693 | 4,540,529 | ||||||
Sally Beauty Holdings, Inc. * |
378,830 | 5,902,171 | ||||||
Shyft Group, Inc. |
199,073 | 4,528,911 | ||||||
Six Flags Entertainment Corp. * |
165,570 | 4,422,375 | ||||||
Taylor Morrison Home Corp. * |
165,781 | 6,342,781 | ||||||
|
|
|||||||
70,516,198 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 12.7% |
| |||||||
Acadia Healthcare Co., Inc. * |
52,069 | 3,761,985 | ||||||
Adtalem Global Education, Inc. * |
117,926 | 4,554,302 | ||||||
Envista Holdings Corp. * |
106,470 | 4,352,494 | ||||||
Hain Celestial Group, Inc. * |
292,635 | 5,018,690 | ||||||
Herc Holdings, Inc. |
41,320 | 4,706,348 | ||||||
Integra LifeSciences Holdings Corp. * |
99,605 | 5,718,323 | ||||||
Korn Ferry |
91,110 | 4,714,031 | ||||||
Nomad Foods Ltd. * (United Kingdom) |
290,635 | 5,446,500 | ||||||
Pediatrix Medical Group, Inc. * |
287,005 | 4,279,245 | ||||||
Syneos Health, Inc. * |
59,130 | 2,106,211 | ||||||
|
|
|||||||
44,658,129 | ||||||||
|
|
|||||||
Energy - 3.6% |
| |||||||
ChampionX Corp. |
113,180 | 3,070,573 | ||||||
Helmerich & Payne, Inc. |
5,789 | 206,957 | ||||||
HF Sinclair Corp. |
72,450 | 3,505,131 | ||||||
Magnolia Oil & Gas Corp. Class A |
267,213 | 5,846,621 | ||||||
|
|
|||||||
12,629,282 | ||||||||
|
|
|||||||
Financial - 29.1% |
| |||||||
1st Source Corp. |
78,710 | 3,396,337 | ||||||
Associated Banc-Corp. |
250,916 | 4,511,470 | ||||||
Bank of Marin Bancorp |
79,718 | 1,745,027 | ||||||
BankUnited, Inc. |
121,745 | 2,749,002 | ||||||
Berkshire Hills Bancorp, Inc. |
180,790 | 4,530,598 | ||||||
Broadstone Net Lease, Inc. REIT |
239,304 | 4,070,561 | ||||||
Carter Bankshares, Inc. * |
168,008 | 2,352,112 | ||||||
First BanCorp |
426,508 | 4,870,721 |
Shares |
Value |
|||||||
First Busey Corp. |
112,470 | $ 2,287,640 | ||||||
Hanover Insurance Group, Inc. |
31,857 | 4,093,625 | ||||||
HarborOne Bancorp, Inc. |
303,187 | 3,698,881 | ||||||
Heritage Financial Corp. |
196,776 | 4,211,007 | ||||||
Independence Realty Trust, Inc. REIT |
183,512 | 2,941,697 | ||||||
Independent Bank Group, Inc. |
57,524 | 2,666,237 | ||||||
Moelis & Co. Class A |
101,480 | 3,900,891 | ||||||
National Storage Affiliates Trust REIT |
75,213 | 3,142,399 | ||||||
NETSTREIT Corp. REIT |
202,890 | 3,708,829 | ||||||
Nicolet Bankshares, Inc. * |
17,200 | 1,084,460 | ||||||
Pacific Premier Bancorp, Inc. |
152,122 | 3,653,971 | ||||||
Peoples Bancorp, Inc. |
75,783 | 1,951,412 | ||||||
Physicians Realty Trust REIT |
268,980 | 4,015,871 | ||||||
Premier Financial Corp. |
171,871 | 3,562,886 | ||||||
Sandy Spring Bancorp, Inc. |
89,548 | 2,326,457 | ||||||
Selective Insurance Group, Inc. |
63,201 | 6,024,951 | ||||||
STAG Industrial, Inc. REIT |
171,505 | 5,800,299 | ||||||
Synovus Financial Corp. |
66,233 | 2,041,963 | ||||||
Texas Capital Bancshares, Inc. * |
90,807 | 4,445,911 | ||||||
TriCo Bancshares |
102,429 | 4,260,022 | ||||||
WSFS Financial Corp. |
105,077 | 3,951,946 | ||||||
|
|
|||||||
101,997,183 | ||||||||
|
|
|||||||
Industrial - 18.3% |
| |||||||
ArcBest Corp. |
61,980 | 5,728,192 | ||||||
Arcosa, Inc. |
83,451 | 5,266,593 | ||||||
Belden, Inc. |
42,221 | 3,663,516 | ||||||
Cactus, Inc. Class A |
53,427 | 2,202,795 | ||||||
Dycom Industries, Inc. * |
64,093 | 6,002,309 | ||||||
Fluor Corp. * |
148,309 | 4,584,231 | ||||||
Great Lakes Dredge & Dock Corp. * |
443,919 | 2,410,480 | ||||||
Heritage-Crystal Clean, Inc. * |
120,719 | 4,298,804 | ||||||
Hillman Solutions Corp. * |
413,937 | 3,485,350 | ||||||
Ichor Holdings Ltd. * |
164,360 | 5,381,146 | ||||||
Masonite International Corp. * |
49,409 | 4,484,855 | ||||||
O-I Glass, Inc. * |
167,248 | 3,798,202 | ||||||
Spirit AeroSystems Holdings, Inc. Class A |
128,080 | 4,422,602 | ||||||
Star Bulk Carriers Corp. (Greece) |
219,960 | 4,645,555 | ||||||
TTM Technologies, Inc. * |
298,303 | 4,024,108 | ||||||
|
|
|||||||
64,398,738 | ||||||||
|
|
|||||||
Technology - 5.5% |
| |||||||
ACI Worldwide, Inc. * |
147,630 | 3,983,057 | ||||||
CommVault Systems, Inc. * |
47,178 | 2,676,880 | ||||||
FormFactor, Inc. * |
98,659 | 3,142,289 | ||||||
Kulicke & Soffa Industries, Inc. (Singapore) |
91,104 | 4,800,270 | ||||||
Magnachip Semiconductor Corp. * (South Korea) |
361,552 | 3,355,202 | ||||||
Unisys Corp. * |
391,192 | 1,517,825 | ||||||
|
|
|||||||
19,475,523 | ||||||||
|
|
|||||||
Utilities - 2.4% |
| |||||||
IDACORP, Inc. |
52,480 | 5,685,158 | ||||||
Southwest Gas Holdings, Inc. * |
43,020 | 2,686,599 | ||||||
|
|
|||||||
8,371,757 | ||||||||
|
|
|||||||
Total Common Stocks |
346,205,545 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
142
PACIFIC SELECT FUND
SMALL-CAP VALUE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 1.4% |
| |||||||
Repurchase Agreement - 1.4% |
| |||||||
Fixed Income Clearing Corp. |
$4,921,662 | $4,921,662 | ||||||
|
|
|||||||
Total Short-Term Investment |
4,921,662 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
351,127,207 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(96,622 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$351,030,585 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$346,205,545 | $346,205,545 | $- | $- | |||||||||||||
Short-Term Investment |
4,921,662 | - | 4,921,662 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$351,127,207 | $346,205,545 | $4,921,662 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
143
PACIFIC SELECT FUND
VALUE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
PREFERRED STOCKS - 1.0% |
| |||||||
Consumer, Non-Cyclical - 1.0% |
| |||||||
Henkel AG & Co. KGaA |
130,507 | $10,210,075 | ||||||
|
|
|||||||
Total Preferred Stocks |
10,210,075 | |||||||
|
|
|||||||
COMMON STOCKS - 95.5% |
| |||||||
Basic Materials - 1.0% |
| |||||||
Akzo Nobel NV (Netherlands) |
126,256 | 9,875,063 | ||||||
|
|
|||||||
Communications - 8.2% |
| |||||||
Alphabet, Inc. Class A * |
66,655 | 6,914,123 | ||||||
Cisco Systems, Inc. |
357,310 | 18,678,380 | ||||||
F5, Inc. * |
88,970 | 12,962,039 | ||||||
Juniper Networks, Inc. |
200,620 | 6,905,341 | ||||||
Verizon Communications, Inc. |
592,009 | 23,023,230 | ||||||
Walt Disney Co. * |
134,963 | 13,513,845 | ||||||
|
|
|||||||
81,996,958 | ||||||||
|
|
|||||||
Consumer, Cyclical - 5.6% |
| |||||||
Advance Auto Parts, Inc. |
43,683 | 5,312,290 | ||||||
Dollar Tree, Inc. * |
112,429 | 16,139,183 | ||||||
General Motors Co. |
168,319 | 6,173,941 | ||||||
Sodexo SA (France) |
70,573 | 6,892,904 | ||||||
Southwest Airlines Co. |
300,062 | 9,764,017 | ||||||
Walmart, Inc. |
80,243 | 11,831,830 | ||||||
|
|
|||||||
56,114,165 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 35.0% |
| |||||||
Automatic Data Processing, Inc. |
46,988 | 10,460,938 | ||||||
Becton Dickinson & Co. |
43,465 | 10,759,326 | ||||||
Cigna Group |
25,102 | 6,414,314 | ||||||
Colgate-Palmolive Co. |
249,570 | 18,755,186 | ||||||
Conagra Brands, Inc. |
456,085 | 17,130,553 | ||||||
CVS Health Corp. |
98,665 | 7,331,796 | ||||||
Henry Schein, Inc. * |
182,468 | 14,878,441 | ||||||
Johnson & Johnson |
305,755 | 47,392,025 | ||||||
Kimberly-Clark Corp. |
156,911 | 21,060,594 | ||||||
Koninklijke Ahold Delhaize NV (Netherlands) |
371,083 | 12,678,091 | ||||||
Medtronic PLC |
482,474 | 38,897,054 | ||||||
Merck & Co., Inc. |
71,575 | 7,614,864 | ||||||
Mondelez International, Inc. Class A |
228,462 | 15,928,371 | ||||||
PepsiCo, Inc. |
38,826 | 7,077,980 | ||||||
Pfizer, Inc. |
217,951 | 8,892,401 | ||||||
Procter & Gamble Co. |
69,189 | 10,287,712 | ||||||
Quest Diagnostics, Inc. |
110,840 | 15,681,643 | ||||||
Roche Holding AG |
34,420 | 9,835,255 | ||||||
Unilever PLC ADR (United Kingdom) |
365,011 | 18,955,021 | ||||||
Universal Health Services, Inc. Class B |
106,941 | 13,592,201 | ||||||
Zimmer Biomet Holdings, Inc. |
265,895 | 34,353,634 | ||||||
|
|
|||||||
347,977,400 | ||||||||
|
|
|||||||
Energy - 7.8% |
| |||||||
Baker Hughes Co. |
365,860 | 10,558,719 | ||||||
Chevron Corp. |
64,185 | 10,472,425 | ||||||
ConocoPhillips |
92,304 | 9,157,480 | ||||||
Exxon Mobil Corp. |
270,400 | 29,652,064 | ||||||
TotalEnergies SE ADR (France) |
303,259 | 17,907,444 | ||||||
|
|
|||||||
77,748,132 | ||||||||
|
|
|||||||
Financial - 18.9% |
| |||||||
Allstate Corp. |
170,146 | 18,853,878 |
Shares |
Value |
|||||||
Ameriprise Financial, Inc. |
30,714 | $ 9,413,841 | ||||||
Bank of New York Mellon Corp. |
430,035 | 19,540,791 | ||||||
Berkshire Hathaway, Inc. Class B * |
123,904 | 38,257,838 | ||||||
BlackRock, Inc. |
17,382 | 11,630,644 | ||||||
Charles Schwab Corp. |
141,355 | 7,404,175 | ||||||
Chubb Ltd. |
35,480 | 6,889,506 | ||||||
Healthpeak Properties, Inc. REIT |
177,963 | 3,909,847 | ||||||
JPMorgan Chase & Co. |
204,014 | 26,585,064 | ||||||
MetLife, Inc. |
92,820 | 5,377,991 | ||||||
Northern Trust Corp. |
91,321 | 8,048,120 | ||||||
Truist Financial Corp. |
469,383 | 16,005,960 | ||||||
US Bancorp |
459,430 | 16,562,452 | ||||||
|
|
|||||||
188,480,107 | ||||||||
|
|
|||||||
Industrial - 11.5% |
| |||||||
Emerson Electric Co. |
115,272 | 10,044,802 | ||||||
Norfolk Southern Corp. |
41,143 | 8,722,316 | ||||||
nVent Electric PLC |
261,155 | 11,213,996 | ||||||
Oshkosh Corp. |
157,333 | 13,086,959 | ||||||
Packaging Corp. of America |
101,586 | 14,103,184 | ||||||
Raytheon Technologies Corp. |
290,285 | 28,427,610 | ||||||
Siemens AG (Germany) |
47,347 | 7,670,399 | ||||||
Sonoco Products Co. |
174,040 | 10,616,440 | ||||||
TE Connectivity Ltd. |
78,414 | 10,283,996 | ||||||
|
|
|||||||
114,169,702 | ||||||||
|
|
|||||||
Technology - 1.3% |
| |||||||
Applied Materials, Inc. |
32,277 | 3,964,584 | ||||||
Texas Instruments, Inc. |
49,122 | 9,137,183 | ||||||
|
|
|||||||
13,101,767 | ||||||||
|
|
|||||||
Utilities - 6.2% |
| |||||||
Duke Energy Corp. |
164,845 | 15,902,597 | ||||||
Edison International |
152,165 | 10,741,327 | ||||||
Eversource Energy |
103,327 | 8,086,371 | ||||||
Pinnacle West Capital Corp. |
130,135 | 10,311,898 | ||||||
Xcel Energy, Inc. |
246,096 | 16,596,714 | ||||||
|
|
|||||||
61,638,907 | ||||||||
|
|
|||||||
Total Common Stocks |
951,102,201 | |||||||
|
|
|||||||
EXCHANGE-TRADED FUND - 1.5% |
| |||||||
iShares Russell 1000 Value |
98,001 | 14,921,632 | ||||||
|
|
|||||||
Total Exchange-Traded Fund |
14,921,632 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
144
PACIFIC SELECT FUND
VALUE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 1.9% |
|
|||||||
Repurchase Agreement - 1.9% |
| |||||||
Fixed Income Clearing Corp. |
$18,695,213 | $18,695,213 | ||||||
|
|
|||||||
Value |
||||||||
Total Short-Term Investment |
18,695,213 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.9% |
994,929,121 | |||||||
|
|
|||||||
DERIVATIVES - (0.1%) |
(581,669 | ) | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.2% |
|
1,682,283 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$996,029,735 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
145
PACIFIC SELECT FUND
VALUE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Forward foreign currency contracts outstanding as of March 31, 2023 were as follows: |
Currency Purchased |
Currency Sold |
Settlement Month |
Counterparty | Unrealized Appreciation |
Unrealized Depreciation |
|||||||||||||||||||||||||||||
USD | 7,916,384 | CHF | 7,181,370 | 06/23 | MSC | $- | ($6,064 | ) | ||||||||||||||||||||||||||
USD | 490,479 | CHF | 444,467 | 06/23 | MSC | 145 | - | |||||||||||||||||||||||||||
USD | 55,005,561 | EUR | 50,916,932 | 06/23 | JPM | - | (483,981 | ) | ||||||||||||||||||||||||||
USD | 16,137,247 | GBP | 13,133,701 | 06/23 | BOA | - | (91,769 | ) | ||||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||||
Total Forward Foreign Currency Contracts |
|
$145 | ($581,814 | ) | ||||||||||||||||||||||||||||||
|
|
|
|
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Preferred Stocks |
$10,210,075 | $- | $10,210,075 | $- | |||||||||||||
Common Stocks |
||||||||||||||||||
Basic Materials |
9,875,063 | - | 9,875,063 | - | ||||||||||||||
Communications |
81,996,958 | 81,996,958 | - | - | ||||||||||||||
Consumer, Cyclical |
56,114,165 | 49,221,261 | 6,892,904 | - | ||||||||||||||
Consumer, Non-Cyclical |
347,977,400 | 325,464,054 | 22,513,346 | - | ||||||||||||||
Energy |
77,748,132 | 77,748,132 | - | - | ||||||||||||||
Financial |
188,480,107 | 188,480,107 | - | - | ||||||||||||||
Industrial |
114,169,702 | 106,499,303 | 7,670,399 | - | ||||||||||||||
Technology |
13,101,767 | 13,101,767 | - | - | ||||||||||||||
Utilities |
61,638,907 | 61,638,907 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
951,102,201 | 904,150,489 | 46,951,712 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Exchange-Traded Fund |
14,921,632 | 14,921,632 | - | - | ||||||||||||||
Short-Term Investment |
18,695,213 | - | 18,695,213 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
145 | - | 145 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
994,929,266 | 919,072,121 | 75,857,145 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Derivatives: |
|||||||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
(581,814 | ) | - | (581,814 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(581,814 | ) | - | (581,814 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$994,347,452 | $919,072,121 | $75,275,331 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
146
PACIFIC SELECT FUND
VALUE ADVANTAGE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 97.9% |
| |||||||
Basic Materials - 0.5% |
| |||||||
Axalta Coating Systems Ltd. * |
135,858 | $4,115,139 | ||||||
|
|
|||||||
Communications - 7.3% |
| |||||||
Alphabet, Inc. Class C * |
46,189 | 4,803,656 | ||||||
Booking Holdings, Inc. * |
2,624 | 6,959,924 | ||||||
Cisco Systems, Inc. |
82,408 | 4,307,878 | ||||||
CommScope Holding Co., Inc. * |
166,487 | 1,060,522 | ||||||
IAC, Inc. * |
90,692 | 4,679,707 | ||||||
Liberty Broadband Corp. Class C * |
68,415 | 5,589,506 | ||||||
Liberty Media Corp. - Liberty SiriusXM |
169,869 | 4,754,633 | ||||||
Meta Platforms, Inc. Class A * |
49,248 | 10,437,621 | ||||||
Nexstar Media Group, Inc. |
14,794 | 2,554,332 | ||||||
T-Mobile US, Inc. * |
24,128 | 3,494,700 | ||||||
Verizon Communications, Inc. |
248,342 | 9,658,020 | ||||||
|
|
|||||||
58,300,499 | ||||||||
|
|
|||||||
Consumer, Cyclical - 7.2% |
| |||||||
AutoZone, Inc. * |
3,950 | 9,709,692 | ||||||
Bath & Body Works, Inc. |
106,608 | 3,899,721 | ||||||
Best Buy Co., Inc. |
42,073 | 3,293,054 | ||||||
Columbia Sportswear Co. |
22,244 | 2,007,298 | ||||||
Dicks Sporting Goods, Inc. |
34,278 | 4,863,705 | ||||||
Dollar General Corp. |
13,073 | 2,751,344 | ||||||
Home Depot, Inc. |
15,584 | 4,599,150 | ||||||
Lowes Cos., Inc. |
33,662 | 6,731,390 | ||||||
Murphy USA, Inc. |
13,972 | 3,605,475 | ||||||
Newell Brands, Inc. |
313,225 | 3,896,519 | ||||||
Ralph Lauren Corp. |
46,452 | 5,419,555 | ||||||
Target Corp. |
21,036 | 3,484,193 | ||||||
Texas Roadhouse, Inc. |
31,424 | 3,395,677 | ||||||
|
|
|||||||
57,656,773 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 20.5% |
| |||||||
AbbVie, Inc. |
108,755 | 17,332,284 | ||||||
Albertsons Cos., Inc. Class A |
195,166 | 4,055,550 | ||||||
AmerisourceBergen Corp. |
69,091 | 11,062,160 | ||||||
BellRing Brands, Inc. * |
90,309 | 3,070,506 | ||||||
Bristol-Myers Squibb Co. |
238,042 | 16,498,691 | ||||||
Cigna Group |
16,563 | 4,232,343 | ||||||
CVS Health Corp. |
81,518 | 6,057,603 | ||||||
Elanco Animal Health, Inc. * |
217,716 | 2,046,530 | ||||||
FleetCor Technologies, Inc. * |
28,118 | 5,928,680 | ||||||
HCA Healthcare, Inc. |
29,546 | 7,790,689 | ||||||
Johnson & Johnson |
76,348 | 11,833,940 | ||||||
Keurig Dr Pepper, Inc. |
134,169 | 4,733,482 | ||||||
Kraft Heinz Co. |
194,267 | 7,512,305 | ||||||
Laboratory Corp. of America Holdings |
27,101 | 6,217,512 | ||||||
Medtronic PLC |
46,241 | 3,727,949 | ||||||
Merck & Co., Inc. |
51,771 | 5,507,917 | ||||||
Philip Morris International, Inc. |
66,205 | 6,438,436 | ||||||
Post Holdings, Inc. * |
71,104 | 6,390,117 | ||||||
Procter & Gamble Co. |
60,808 | 9,041,542 | ||||||
Regeneron Pharmaceuticals, Inc. * |
8,672 | 7,125,522 | ||||||
Sysco Corp. |
45,551 | 3,517,904 | ||||||
UnitedHealth Group, Inc. |
11,058 | 5,225,900 | ||||||
Vertex Pharmaceuticals, Inc. * |
15,730 | 4,956,051 | ||||||
Zimmer Biomet Holdings, Inc. |
32,179 | 4,157,527 | ||||||
|
|
|||||||
164,461,140 | ||||||||
|
|
|||||||
Energy - 7.8% |
| |||||||
Chevron Corp. |
113,624 | 18,538,892 | ||||||
ConocoPhillips |
134,964 | 13,389,778 | ||||||
Coterra Energy, Inc. |
138,145 | 3,390,078 |
Shares |
Value |
|||||||
EOG Resources, Inc. |
44,928 | $ 5,150,097 | ||||||
Kinder Morgan, Inc. |
458,926 | 8,035,794 | ||||||
Phillips 66 |
68,983 | 6,993,497 | ||||||
Williams Cos., Inc. |
235,407 | 7,029,253 | ||||||
|
|
|||||||
62,527,389 | ||||||||
|
|
|||||||
Financial - 33.3% |
| |||||||
American Express Co. |
36,246 | 5,978,778 | ||||||
American Homes 4 Rent Class A REIT |
187,414 | 5,894,170 | ||||||
Apple Hospitality REIT, Inc. |
206,226 | 3,200,628 | ||||||
Bank of America Corp. |
644,329 | 18,427,809 | ||||||
Berkshire Hathaway, Inc. Class B * |
67,159 | 20,736,684 | ||||||
Brixmor Property Group, Inc. REIT |
253,748 | 5,460,657 | ||||||
Capital One Financial Corp. |
160,658 | 15,448,873 | ||||||
CBRE Group, Inc. Class A * |
85,819 | 6,248,481 | ||||||
Charles Schwab Corp. |
103,517 | 5,422,221 | ||||||
Chubb Ltd. |
33,828 | 6,568,721 | ||||||
Citigroup, Inc. |
87,400 | 4,098,186 | ||||||
Citizens Financial Group, Inc. |
242,789 | 7,373,502 | ||||||
CNA Financial Corp. |
64,417 | 2,514,196 | ||||||
Cullen/Frost Bankers, Inc. |
12,630 | 1,330,444 | ||||||
EastGroup Properties, Inc. REIT |
14,078 | 2,327,375 | ||||||
Fairfax Financial Holdings Ltd. (Canada) |
9,288 | 6,177,643 | ||||||
Federal Realty Investment Trust REIT |
48,285 | 4,772,007 | ||||||
First Citizens BancShares, Inc. Class A |
3,881 | 3,776,601 | ||||||
Hartford Financial Services Group, Inc. |
63,277 | 4,409,774 | ||||||
JBG SMITH Properties REIT |
132,399 | 1,993,929 | ||||||
Kimco Realty Corp. REIT |
394,989 | 7,714,135 | ||||||
Lamar Advertising Co. Class A REIT |
48,946 | 4,889,216 | ||||||
Loews Corp. |
231,506 | 13,431,978 | ||||||
M&T Bank Corp. |
110,301 | 13,188,691 | ||||||
MGIC Investment Corp. |
246,963 | 3,314,244 | ||||||
Mid-America Apartment Communities, Inc. REIT |
43,050 | 6,502,272 | ||||||
Morgan Stanley |
51,545 | 4,525,651 | ||||||
Northern Trust Corp. |
54,817 | 4,831,022 | ||||||
PNC Financial Services Group, Inc. |
79,647 | 10,123,134 | ||||||
Progressive Corp. |
57,939 | 8,288,753 | ||||||
Public Storage REIT |
22,785 | 6,884,260 | ||||||
Rayonier, Inc. REIT |
164,882 | 5,483,975 | ||||||
T Rowe Price Group, Inc. |
34,347 | 3,877,776 | ||||||
Travelers Cos., Inc. |
46,784 | 8,019,245 | ||||||
Truist Financial Corp. |
98,764 | 3,367,852 | ||||||
US Bancorp |
126,912 | 4,575,178 | ||||||
Wells Fargo & Co. |
388,176 | 14,510,019 | ||||||
Welltower, Inc. REIT |
38,271 | 2,743,648 | ||||||
Weyerhaeuser Co. REIT |
302,268 | 9,107,335 | ||||||
|
|
|||||||
267,539,063 | ||||||||
|
|
|||||||
Industrial - 13.8% |
| |||||||
Carlisle Cos., Inc. |
19,936 | 4,506,932 | ||||||
Dover Corp. |
61,372 | 9,324,862 | ||||||
Eaton Corp. PLC |
31,755 | 5,440,902 | ||||||
Energizer Holdings, Inc. |
107,861 | 3,742,777 | ||||||
FedEx Corp. |
30,186 | 6,897,199 | ||||||
Fortune Brands Innovations, Inc. |
83,684 | 4,914,761 | ||||||
General Dynamics Corp. |
28,183 | 6,431,642 | ||||||
Honeywell International, Inc. |
31,021 | 5,928,734 | ||||||
ITT, Inc. |
30,380 | 2,621,794 | ||||||
Martin Marietta Materials, Inc. |
24,848 | 8,822,531 | ||||||
Middleby Corp. * |
27,077 | 3,969,759 | ||||||
Mohawk Industries, Inc. * |
49,874 | 4,998,372 | ||||||
Norfolk Southern Corp. |
9,388 | 1,990,256 | ||||||
Northrop Grumman Corp. |
9,134 | 4,217,351 | ||||||
Packaging Corp. of America |
57,136 | 7,932,191 | ||||||
Raytheon Technologies Corp. |
94,597 | 9,263,884 | ||||||
TD SYNNEX Corp. |
43,556 | 4,215,785 | ||||||
Timken Co. |
46,834 | 3,827,274 | ||||||
Union Pacific Corp. |
30,561 | 6,150,707 | ||||||
Vulcan Materials Co. |
14,583 | 2,501,859 | ||||||
Westrock Co. |
104,079 | 3,171,287 | ||||||
|
|
|||||||
110,870,859 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
147
PACIFIC SELECT FUND
VALUE ADVANTAGE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Technology - 3.4% |
| |||||||
Analog Devices, Inc. |
21,418 | $4,224,058 | ||||||
International Business Machines Corp. |
33,724 | 4,420,879 | ||||||
Leidos Holdings, Inc. |
42,795 | 3,939,708 | ||||||
NXP Semiconductors NV (China) |
32,773 | 6,111,345 | ||||||
Texas Instruments, Inc. |
47,703 | 8,873,235 | ||||||
|
|
|||||||
27,569,225 | ||||||||
|
|
|||||||
Utilities - 4.1% |
| |||||||
American Electric Power Co., Inc. |
39,106 | 3,558,255 | ||||||
Edison International |
64,535 | 4,555,526 | ||||||
Entergy Corp. |
34,527 | 3,719,939 | ||||||
NextEra Energy, Inc. |
68,483 | 5,278,670 | ||||||
PG&E Corp. * |
348,369 | 5,633,127 | ||||||
Public Service Enterprise Group, Inc. |
61,360 | 3,831,932 | ||||||
Xcel Energy, Inc. |
95,658 | 6,451,175 | ||||||
|
|
|||||||
33,028,624 | ||||||||
|
|
|||||||
Total Common Stocks |
786,068,711 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 2.3% |
| |||||||
Repurchase Agreement - 2.3% |
| |||||||
Fixed Income Clearing Corp. |
$18,169,979 | 18,169,979 | ||||||
|
|
|||||||
Total Short-Term Investment |
18,169,979 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.2% |
804,238,690 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.2%) |
|
(1,595,754 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$802,642,936 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$786,068,711 | $786,068,711 | $- | $- | |||||||||||||
Short-Term Investment |
18,169,979 | - | 18,169,979 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$804,238,690 | $786,068,711 | $18,169,979 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
148
PACIFIC SELECT FUND
EMERGING MARKETS PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
WARRANTS - 0.1% |
| |||||||
Switzerland - 0.1% |
| |||||||
Cie Financiere Richemont SA Exercise @ CHF 67.00 Exp 11/22/23 * |
535,142 | $672,619 | ||||||
|
|
|||||||
Total Warrants |
672,619 | |||||||
|
|
|||||||
PREFERRED STOCKS - 0.4% |
| |||||||
Brazil - 0.4% |
| |||||||
Banco Bradesco SA |
1,176,572 | 3,057,237 | ||||||
|
|
|||||||
Total Preferred Stocks |
3,057,237 | |||||||
|
|
|||||||
COMMON STOCKS - 95.6% |
| |||||||
Australia - 0.8% |
| |||||||
Glencore PLC * |
1,076,371 | 6,193,670 | ||||||
|
|
|||||||
Brazil - 4.8% |
| |||||||
Ambev SA |
5,557,221 | 15,711,899 | ||||||
B3 SA - Brasil Bolsa Balcao |
1,475,000 | 3,012,016 | ||||||
Lojas Renner SA |
464,584 | 1,518,838 | ||||||
NU Holdings Ltd. Class A * |
1,673,209 | 7,964,475 | ||||||
Vale SA ADR |
467,852 | 7,382,705 | ||||||
WEG SA |
449,975 | 3,600,013 | ||||||
|
|
|||||||
39,189,946 | ||||||||
|
|
|||||||
Chile - 0.6% |
| |||||||
Antofagasta PLC |
49,765 | 974,770 | ||||||
Banco Santander Chile |
91,135,141 | 4,041,457 | ||||||
|
|
|||||||
5,016,227 | ||||||||
|
|
|||||||
China - 27.7% |
| |||||||
BeiGene Ltd. ADR * |
37,573 | 8,098,109 | ||||||
Brii Biosciences Ltd. * |
41,500 | 22,867 | ||||||
H World Group Ltd. * |
65,200 | 319,151 | ||||||
H World Group Ltd. ADR * |
814,364 | 39,887,549 | ||||||
Meituan Class B * ~ |
369,072 | 6,695,783 | ||||||
MicroTech Medical Hangzhou Co. Ltd. |
252,100 | 239,689 | ||||||
NetEase, Inc. ADR |
304,571 | 26,936,259 | ||||||
New Horizon Health Ltd. * ~ |
431,000 | 1,493,591 | ||||||
Silergy Corp. |
202,000 | 3,207,069 | ||||||
Tencent Holdings Ltd. |
581,925 | 28,438,264 | ||||||
Wuxi Biologics Cayman, Inc. * ~ |
1,137,000 | 7,006,146 | ||||||
Yum China Holdings, Inc. |
946,082 | 59,972,138 | ||||||
Zai Lab Ltd. ADR * |
138,330 | 4,600,856 | ||||||
ZTO Express Cayman, Inc. |
82,977 | 2,375,860 | ||||||
ZTO Express Cayman, Inc. ADR |
1,234,424 | 35,378,592 | ||||||
|
|
|||||||
224,671,923 | ||||||||
|
|
|||||||
France - 6.3% |
| |||||||
LOreal SA |
3,789 | 1,693,087 | ||||||
Pernod Ricard SA |
182,816 | 41,395,185 | ||||||
TotalEnergies SE |
134,029 | 7,902,842 | ||||||
|
|
|||||||
50,991,114 | ||||||||
|
|
|||||||
Hong Kong - 1.5% |
| |||||||
AIA Group Ltd. |
917,018 | 9,617,093 | ||||||
Hongkong Land Holdings Ltd. |
559,900 | 2,463,260 | ||||||
|
|
|||||||
12,080,353 | ||||||||
|
|
Shares |
Value |
|||||||
India - 18.5% |
| |||||||
Havells India Ltd. |
206,749 | $2,997,728 | ||||||
Housing Development Finance Corp. Ltd. |
1,773,515 | 56,873,162 | ||||||
Infosys Ltd. |
194,719 | 3,404,298 | ||||||
Kotak Mahindra Bank Ltd. |
1,867,402 | 39,471,012 | ||||||
Oberoi Realty Ltd. |
554,004 | 5,697,542 | ||||||
Tata Consultancy Services Ltd. |
977,233 | 38,305,404 | ||||||
Zee Entertainment Enterprises Ltd. |
1,303,408 | 3,371,840 | ||||||
|
|
|||||||
150,120,986 | ||||||||
|
|
|||||||
Indonesia - 0.7% |
| |||||||
P.T. Bank Central Asia Tbk |
10,342,900 | 6,051,053 | ||||||
|
|
|||||||
Italy - 2.3% |
| |||||||
Ermenegildo Zegna NV |
168,679 | 2,300,781 | ||||||
PRADA SpA |
2,256,600 | 16,001,693 | ||||||
|
|
|||||||
18,302,474 | ||||||||
|
|
|||||||
Japan - 0.5% |
| |||||||
Daiichi Sankyo Co. Ltd. |
121,000 | 4,413,794 | ||||||
|
|
|||||||
Mexico - 10.6% |
| |||||||
America Movil SAB de CV ADR * |
716,509 | 15,082,514 | ||||||
Fomento Economico Mexicano SAB de CV |
1,213,309 | 11,567,508 | ||||||
Grupo Mexico SAB de CV |
8,768,199 | 41,520,001 | ||||||
Wal-Mart de Mexico SAB de CV |
4,523,886 | 18,082,992 | ||||||
|
|
|||||||
86,253,015 | ||||||||
|
|
|||||||
Peru - 0.9% |
| |||||||
Credicorp Ltd. |
53,642 | 7,101,664 | ||||||
|
|
|||||||
Philippines - 1.3% |
| |||||||
SM Investments Corp. |
645,339 | 10,592,773 | ||||||
|
|
|||||||
Russia - 0.0% |
| |||||||
Novatek PJSC GDR (LI) * ~ W ± |
258,603 | | ||||||
Polyus PJSC GDR * ~ W ± |
41,905 | | ||||||
Sberbank of Russia PJSC * W ± |
156,504 | | ||||||
TCS Group Holding PLC GDR * ~ W ± |
86,992 | | ||||||
Yandex NV Class A * W ± |
722,151 | 1 | ||||||
|
|
|||||||
1 | ||||||||
|
|
|||||||
South Africa - 0.6% |
| |||||||
FirstRand Ltd. |
1,357,611 | 4,601,485 | ||||||
|
|
|||||||
South Korea - 7.1% |
| |||||||
LG Chem Ltd. |
48,202 | 26,472,227 | ||||||
LG H&H Co. Ltd. |
4,911 | 2,268,874 | ||||||
Samsung Biologics Co. Ltd. * ~ |
23,363 | 14,161,812 | ||||||
Samsung Electronics Co. Ltd. |
298,802 | 14,776,045 | ||||||
|
|
|||||||
57,678,958 | ||||||||
|
|
|||||||
Switzerland - 3.5% |
| |||||||
Cie Financiere Richemont SA Class A |
176,932 | 28,372,117 | ||||||
|
|
|||||||
Taiwan - 7.6% |
| |||||||
MediaTek, Inc. * |
166,000 | 4,303,735 | ||||||
Taiwan Semiconductor Manufacturing Co. Ltd. |
3,247,376 | 56,908,985 | ||||||
|
|
|||||||
61,212,720 | ||||||||
|
|
|||||||
United Kingdom - 0.3% |
| |||||||
AstraZeneca PLC ADR |
34,449 | 2,391,105 | ||||||
|
|
|||||||
Total Common Stocks |
775,235,378 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
149
PACIFIC SELECT FUND
EMERGING MARKETS PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 3.6% |
| |||||||
Repurchase Agreement - 3.6% |
| |||||||
Fixed Income Clearing Corp. |
$28,967,745 | $28,967,745 | ||||||
|
|
|||||||
Total Short-Term Investment |
28,967,745 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.7% |
807,932,979 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.3% |
2,818,477 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$810,751,456 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
150
PACIFIC SELECT FUND
EMERGING MARKETS PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $1 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Warrants |
$672,619 | $672,619 | $- | $- | |||||||||||||
Preferred Stocks |
3,057,237 | 3,057,237 | - | - | ||||||||||||||
Common Stocks |
||||||||||||||||||
Australia |
6,193,670 | - | 6,193,670 | - | ||||||||||||||
Brazil |
39,189,946 | 39,189,946 | - | - | ||||||||||||||
Chile |
5,016,227 | 4,041,457 | 974,770 | - | ||||||||||||||
China |
224,671,923 | 174,873,503 | 49,798,420 | - | ||||||||||||||
France |
50,991,114 | - | 50,991,114 | - | ||||||||||||||
Hong Kong |
12,080,353 | - | 12,080,353 | - | ||||||||||||||
India |
150,120,986 | - | 150,120,986 | - | ||||||||||||||
Indonesia |
6,051,053 | - | 6,051,053 | - | ||||||||||||||
Italy |
18,302,474 | 2,300,781 | 16,001,693 | - | ||||||||||||||
Japan |
4,413,794 | - | 4,413,794 | - | ||||||||||||||
Mexico |
86,253,015 | 86,253,015 | - | - | ||||||||||||||
Peru |
7,101,664 | 7,101,664 | - | - | ||||||||||||||
Philippines |
10,592,773 | - | 10,592,773 | - | ||||||||||||||
Russia |
1 | - | - | 1 | ||||||||||||||
South Africa |
4,601,485 | - | 4,601,485 | - | ||||||||||||||
South Korea |
57,678,958 | - | 57,678,958 | - | ||||||||||||||
Switzerland |
28,372,117 | - | 28,372,117 | - | ||||||||||||||
Taiwan |
61,212,720 | - | 61,212,720 | - | ||||||||||||||
United Kingdom |
2,391,105 | 2,391,105 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
775,235,378 | 316,151,471 | 459,083,906 | 1 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment |
28,967,745 | - | 28,967,745 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$807,932,979 | $319,881,327 | $488,051,651 | $1 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
151
PACIFIC SELECT FUND
INTERNATIONAL GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 99.3% |
||||||||
Australia - 1.1% |
||||||||
Brambles Ltd. |
781,908 | $7,049,875 | ||||||
|
|
|||||||
Canada - 8.1% |
||||||||
CAE, Inc. * |
251,597 | 5,689,089 | ||||||
Canadian Pacific Railway Ltd. |
209,767 | 16,152,757 | ||||||
Loblaw Cos. Ltd. |
89,654 | 8,170,687 | ||||||
Shopify, Inc. Class A * |
32,759 | 1,570,467 | ||||||
Suncor Energy, Inc. |
303,604 | 9,425,989 | ||||||
Thomson Reuters Corp. |
80,781 | 10,510,197 | ||||||
|
|
|||||||
51,519,186 | ||||||||
|
|
|||||||
China - 2.0% |
||||||||
Tencent Holdings Ltd. |
195,938 | 9,575,352 | ||||||
Zai Lab Ltd. * |
399,800 | 1,332,366 | ||||||
Zai Lab Ltd. ADR * |
58,155 | 1,934,235 | ||||||
|
|
|||||||
12,841,953 | ||||||||
|
|
|||||||
Denmark - 4.4% |
||||||||
Novo Nordisk AS Class B |
176,234 | 27,989,705 | ||||||
|
|
|||||||
France - 12.9% |
||||||||
Airbus SE |
71,642 | 9,569,040 | ||||||
BNP Paribas SA |
99,763 | 5,957,600 | ||||||
EssilorLuxottica SA |
36,179 | 6,523,897 | ||||||
Kering SA |
9,900 | 6,459,033 | ||||||
LOreal SA |
25,882 | 11,565,181 | ||||||
LVMH Moet Hennessy Louis Vuitton SE |
25,279 | 23,203,804 | ||||||
Safran SA |
65,482 | 9,693,732 | ||||||
Teleperformance |
39,616 | 9,572,577 | ||||||
|
|
|||||||
82,544,864 | ||||||||
|
|
|||||||
Germany - 6.4% |
||||||||
Deutsche Boerse AG |
52,150 | 10,154,128 | ||||||
Deutsche Telekom AG |
744,746 | 18,046,904 | ||||||
SAP SE |
100,915 | 12,742,584 | ||||||
|
|
|||||||
40,943,616 | ||||||||
|
|
|||||||
Hong Kong - 4.0% |
||||||||
AIA Group Ltd. |
1,343,521 | 14,089,982 | ||||||
Hong Kong Exchanges & Clearing Ltd. |
258,553 | 11,460,283 | ||||||
|
|
|||||||
25,550,265 | ||||||||
|
|
|||||||
Ireland - 1.0% |
||||||||
CRH PLC |
127,454 | 6,439,011 | ||||||
|
|
|||||||
Israel - 1.1% |
||||||||
Nice Ltd. ADR * |
31,956 | 7,314,409 | ||||||
|
|
|||||||
Italy - 1.0% |
||||||||
Intesa Sanpaolo SpA |
2,602,274 | 6,678,582 | ||||||
|
|
|||||||
Japan - 13.0% |
||||||||
Daiichi Sankyo Co. Ltd. |
371,015 | 13,533,750 | ||||||
Hoya Corp. |
57,870 | 6,395,343 | ||||||
Keyence Corp. |
34,245 | 16,783,760 | ||||||
Olympus Corp. |
712,121 | 12,506,802 | ||||||
Recruit Holdings Co. Ltd. |
269,964 | 7,426,447 | ||||||
Shiseido Co. Ltd. |
206,724 | 9,691,891 | ||||||
Sony Group Corp. |
181,422 | 16,524,530 | ||||||
|
|
|||||||
82,862,523 | ||||||||
|
|
Shares |
Value |
|||||||
Netherlands - 4.1% |
| |||||||
Adyen NV * ~ |
5,069 | $8,077,086 | ||||||
Argenx SE * |
13,959 | 5,183,750 | ||||||
ASML Holding NV |
19,085 | 13,005,434 | ||||||
|
|
|||||||
26,266,270 | ||||||||
|
|
|||||||
Portugal - 2.4% |
| |||||||
EDP - Energias de Portugal SA |
2,873,323 | 15,656,489 | ||||||
|
|
|||||||
Spain - 6.0% |
| |||||||
Amadeus IT Group SA * |
163,726 | 10,983,315 | ||||||
Cellnex Telecom SA ~ |
134,671 | 5,237,036 | ||||||
Iberdrola SA |
673,957 | 8,396,020 | ||||||
Industria de Diseno Textil SA |
410,076 | 13,776,582 | ||||||
|
|
|||||||
38,392,953 | ||||||||
|
|
|||||||
Sweden - 2.6% |
| |||||||
Atlas Copco AB Class A |
511,777 | 6,483,368 | ||||||
Sandvik AB |
487,436 | 10,346,213 | ||||||
|
|
|||||||
16,829,581 | ||||||||
|
|
|||||||
Switzerland - 3.8% |
| |||||||
Alcon, Inc. |
160,040 | 11,360,837 | ||||||
Givaudan SA |
1,970 | 6,411,931 | ||||||
Straumann Holding AG |
44,468 | 6,669,513 | ||||||
|
|
|||||||
24,442,281 | ||||||||
|
|
|||||||
United Kingdom - 11.5% |
| |||||||
3i Group PLC |
303,072 | 6,317,074 | ||||||
Compass Group PLC |
340,156 | 8,548,644 | ||||||
Diageo PLC |
357,924 | 15,974,014 | ||||||
London Stock Exchange Group PLC |
202,248 | 19,644,281 | ||||||
RELX PLC |
308,970 | 10,006,579 | ||||||
Rentokil Initial PLC |
1,762,558 | 12,881,726 | ||||||
|
|
|||||||
73,372,318 | ||||||||
|
|
|||||||
United States - 13.9% |
| |||||||
Accenture PLC Class A |
33,061 | 9,449,164 | ||||||
Computershare Ltd. |
286,269 | 4,158,113 | ||||||
Haleon PLC |
2,414,277 | 9,590,550 | ||||||
ICON PLC * |
20,554 | 4,390,129 | ||||||
Linde PLC |
36,807 | 13,082,680 | ||||||
Nestle SA |
234,217 | 28,558,197 | ||||||
Roche Holding AG |
30,704 | 8,773,437 | ||||||
SolarEdge Technologies, Inc. * |
18,769 | 5,704,838 | ||||||
TE Connectivity Ltd. |
35,830 | 4,699,105 | ||||||
|
|
|||||||
88,406,213 | ||||||||
|
|
|||||||
Total Common Stocks |
635,100,094 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.3% |
635,100,094 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.7% |
|
4,417,564 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$639,517,658 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
152
PACIFIC SELECT FUND
INTERNATIONAL GROWTH PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
|||||||||||||||||
Australia |
$7,049,875 | $- | $7,049,875 | $- | ||||||||||||||
Canada |
51,519,186 | 51,519,186 | - | - | ||||||||||||||
China |
12,841,953 | 1,934,235 | 10,907,718 | - | ||||||||||||||
Denmark |
27,989,705 | - | 27,989,705 | - | ||||||||||||||
France |
82,544,864 | - | 82,544,864 | - | ||||||||||||||
Germany |
40,943,616 | - | 40,943,616 | - | ||||||||||||||
Hong Kong |
25,550,265 | - | 25,550,265 | - | ||||||||||||||
Ireland |
6,439,011 | - | 6,439,011 | - | ||||||||||||||
Israel |
7,314,409 | 7,314,409 | - | - | ||||||||||||||
Italy |
6,678,582 | - | 6,678,582 | - | ||||||||||||||
Japan |
82,862,523 | - | 82,862,523 | - | ||||||||||||||
Netherlands |
26,266,270 | - | 26,266,270 | - | ||||||||||||||
Portugal |
15,656,489 | - | 15,656,489 | - | ||||||||||||||
Spain |
38,392,953 | - | 38,392,953 | - | ||||||||||||||
Sweden |
16,829,581 | - | 16,829,581 | - | ||||||||||||||
Switzerland |
24,442,281 | - | 24,442,281 | - | ||||||||||||||
United Kingdom |
73,372,318 | - | 73,372,318 | - | ||||||||||||||
United States |
88,406,213 | 37,325,916 | 51,080,297 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
635,100,094 | 98,093,746 | 537,006,348 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
635,100,094 | 98,093,746 | 537,006,348 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Due to Custodian |
(119,120 | ) | - | (119,120 | ) | - | |||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(119,120 | ) | - | (119,120 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$634,980,974 | $98,093,746 | $536,887,228 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
153
PACIFIC SELECT FUND
INTERNATIONAL LARGE-CAP PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.6% |
| |||||||
Australia - 0.9% |
| |||||||
Rio Tinto PLC |
140,367 | $9,527,816 | ||||||
|
|
|||||||
Belgium - 0.7% |
| |||||||
KBC Group NV |
100,265 | 6,889,285 | ||||||
|
|
|||||||
Canada - 3.7% |
| |||||||
Canadian National Railway Co. |
121,825 | 14,371,695 | ||||||
Intact Financial Corp. |
50,990 | 7,297,437 | ||||||
Suncor Energy, Inc. |
199,896 | 6,206,168 | ||||||
Toronto-Dominion Bank |
188,389 | 11,283,825 | ||||||
|
|
|||||||
39,159,125 | ||||||||
|
|
|||||||
China - 2.6% |
| |||||||
Meituan Class B * ~ |
24,092 | 437,082 | ||||||
NetEase, Inc. |
422,300 | 7,454,806 | ||||||
Tencent Holdings Ltd. |
219,023 | 10,703,500 | ||||||
Yum China Holdings, Inc. |
133,564 | 8,466,622 | ||||||
|
|
|||||||
27,062,010 | ||||||||
|
|
|||||||
Denmark - 3.4% |
| |||||||
Carlsberg AS Class B |
61,857 | 9,598,158 | ||||||
Novo Nordisk AS Class B |
167,711 | 26,636,072 | ||||||
|
|
|||||||
36,234,230 | ||||||||
|
|
|||||||
France - 16.2% |
| |||||||
Air Liquide SA |
177,864 | 29,772,403 | ||||||
Capgemini SE |
115,564 | 21,475,879 | ||||||
Cie de Saint-Gobain |
191,535 | 10,887,532 | ||||||
Cie Generale des Etablissements Michelin SCA |
232,378 | 7,103,393 | ||||||
Dassault Systemes SE |
143,040 | 5,900,547 | ||||||
Engie SA |
909,152 | 14,387,047 | ||||||
EssilorLuxottica SA |
90,213 | 16,267,458 | ||||||
LOreal SA |
20,112 | 8,986,899 | ||||||
Legrand SA |
101,166 | 9,243,772 | ||||||
LVMH Moet Hennessy Louis Vuitton SE |
31,238 | 28,673,620 | ||||||
Pernod Ricard SA |
83,433 | 18,891,807 | ||||||
|
|
|||||||
171,590,357 | ||||||||
|
|
|||||||
Germany - 9.9% |
| |||||||
Bayer AG |
265,896 | 16,985,863 | ||||||
Beiersdorf AG |
151,457 | 19,702,635 | ||||||
Deutsche Boerse AG |
111,728 | 21,754,563 | ||||||
Merck KGaA |
98,348 | 18,335,489 | ||||||
MTU Aero Engines AG |
27,751 | 6,944,403 | ||||||
SAP SE |
168,737 | 21,306,499 | ||||||
|
|
|||||||
105,029,452 | ||||||||
|
|
|||||||
Hong Kong - 2.9% |
| |||||||
AIA Group Ltd. |
2,105,407 | 22,080,151 | ||||||
Prudential PLC |
654,719 | 8,964,168 | ||||||
|
|
|||||||
31,044,319 | ||||||||
|
|
|||||||
India - 2.0% |
| |||||||
HDFC Bank Ltd. |
272,279 | 5,355,411 | ||||||
Housing Development Finance Corp. Ltd. |
243,762 | 7,816,971 | ||||||
Tata Consultancy Services Ltd. |
203,251 | 7,966,996 | ||||||
|
|
|||||||
21,139,378 | ||||||||
|
|
Shares |
Value |
|||||||
Ireland - 1.1% |
| |||||||
Ryanair Holdings PLC ADR * |
121,074 | $11,416,067 | ||||||
|
|
|||||||
Israel - 1.3% |
| |||||||
Check Point Software Technologies Ltd. * |
103,868 | 13,502,840 | ||||||
|
|
|||||||
Italy - 2.3% |
| |||||||
Eni SpA |
781,423 | 10,898,009 | ||||||
Intesa Sanpaolo SpA |
5,418,070 | 13,905,156 | ||||||
|
|
|||||||
24,803,165 | ||||||||
|
|
|||||||
Japan - 13.9% |
| |||||||
Daikin Industries Ltd. |
89,900 | 16,128,648 | ||||||
Denso Corp. |
204,800 | 11,560,427 | ||||||
Hitachi Ltd. |
394,400 | 21,676,494 | ||||||
Hoya Corp. |
106,400 | 11,758,502 | ||||||
Koito Manufacturing Co. Ltd. |
344,000 | 6,520,947 | ||||||
Kose Corp. |
77,800 | 9,247,171 | ||||||
Kubota Corp. |
306,000 | 4,639,366 | ||||||
Kyocera Corp. |
215,100 | 11,220,892 | ||||||
Olympus Corp. |
618,900 | 10,869,585 | ||||||
Shin-Etsu Chemical Co. Ltd. |
193,500 | 6,281,208 | ||||||
SMC Corp. |
21,700 | 11,503,524 | ||||||
Sony Group Corp. |
173,500 | 15,802,967 | ||||||
Terumo Corp. |
344,000 | 9,303,586 | ||||||
|
|
|||||||
146,513,317 | ||||||||
|
|
|||||||
Netherlands - 3.1% |
| |||||||
Akzo Nobel NV |
163,271 | 12,770,176 | ||||||
ING Groep NV |
1,111,466 | 13,199,031 | ||||||
Randstad NV |
114,267 | 6,783,425 | ||||||
|
|
|||||||
32,752,632 | ||||||||
|
|
|||||||
Portugal - 0.6% |
| |||||||
Galp Energia SGPS SA |
564,043 | 6,382,299 | ||||||
|
|
|||||||
Singapore - 1.2% |
| |||||||
DBS Group Holdings Ltd. |
513,414 | 12,764,363 | ||||||
|
|
|||||||
South Korea - 0.5% |
| |||||||
Samsung Electronics Co. Ltd. |
106,489 | 5,265,983 | ||||||
|
|
|||||||
Spain - 1.0% |
| |||||||
Amadeus IT Group SA * |
160,128 | 10,741,949 | ||||||
|
|
|||||||
Switzerland - 8.9% |
| |||||||
Cie Financiere Richemont SA Class A |
140,505 | 22,530,827 | ||||||
Julius Baer Group Ltd. |
129,403 | 8,839,315 | ||||||
Novartis AG |
169,059 | 15,522,747 | ||||||
Sika AG |
29,399 | 8,246,285 | ||||||
Sonova Holding AG |
24,627 | 7,264,683 | ||||||
UBS Group AG (XVTX) |
766,553 | 16,220,866 | ||||||
Zurich Insurance Group AG |
32,200 | 15,430,195 | ||||||
|
|
|||||||
94,054,918 | ||||||||
|
|
|||||||
Taiwan - 1.2% |
| |||||||
Taiwan Semiconductor Manufacturing Co. Ltd. ADR |
137,057 | 12,749,042 | ||||||
|
|
|||||||
United Kingdom - 8.8% |
| |||||||
Compass Group PLC |
867,097 | 21,791,482 | ||||||
Diageo PLC |
342,719 | 15,295,420 | ||||||
London Stock Exchange Group PLC |
129,670 | 12,594,804 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
154
PACIFIC SELECT FUND
INTERNATIONAL LARGE-CAP PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Reckitt Benckiser Group PLC |
119,994 | $9,128,840 | ||||||
RELX PLC |
543,132 | 17,590,366 | ||||||
Rolls-Royce Holdings PLC * |
3,917,372 | 7,215,256 | ||||||
Tesco PLC |
2,862,215 | 9,383,570 | ||||||
|
|
|||||||
92,999,738 | ||||||||
|
|
|||||||
United States - 12.4% |
| |||||||
Experian PLC |
464,179 | 15,284,348 | ||||||
Linde PLC |
42,791 | 15,040,455 | ||||||
Nestle SA |
296,603 | 36,164,953 | ||||||
QIAGEN NV * |
200,057 | 9,111,891 | ||||||
Roche Holding AG |
89,382 | 25,540,233 | ||||||
Schneider Electric SE |
177,553 | 29,673,327 | ||||||
|
|
|||||||
130,815,207 | ||||||||
|
|
|||||||
Total Common Stocks |
1,042,437,492 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.4% |
| |||||||
Repurchase Agreement - 0.4% |
| |||||||
Fixed Income Clearing Corp. |
$4,751,828 | 4,751,828 | ||||||
|
|
|||||||
Total Short-Term Investment |
4,751,828 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.0% |
1,047,189,320 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 1.0% |
|
10,739,119 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$1,057,928,439 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
155
PACIFIC SELECT FUND
INTERNATIONAL LARGE-CAP PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
|||||||||||||||||
Australia |
$9,527,816 | $- | $9,527,816 | $- | ||||||||||||||
Belgium |
6,889,285 | - | 6,889,285 | - | ||||||||||||||
Canada |
39,159,125 | 39,159,125 | - | - | ||||||||||||||
China |
27,062,010 | 8,466,622 | 18,595,388 | - | ||||||||||||||
Denmark |
36,234,230 | - | 36,234,230 | - | ||||||||||||||
France |
171,590,357 | - | 171,590,357 | - | ||||||||||||||
Germany |
105,029,452 | - | 105,029,452 | - | ||||||||||||||
Hong Kong |
31,044,319 | - | 31,044,319 | - | ||||||||||||||
India |
21,139,378 | - | 21,139,378 | - | ||||||||||||||
Ireland |
11,416,067 | 11,416,067 | - | - | ||||||||||||||
Israel |
13,502,840 | 13,502,840 | - | - | ||||||||||||||
Italy |
24,803,165 | - | 24,803,165 | - | ||||||||||||||
Japan |
146,513,317 | - | 146,513,317 | - | ||||||||||||||
Netherlands |
32,752,632 | - | 32,752,632 | - | ||||||||||||||
Portugal |
6,382,299 | - | 6,382,299 | - | ||||||||||||||
Singapore |
12,764,363 | - | 12,764,363 | - | ||||||||||||||
South Korea |
5,265,983 | - | 5,265,983 | - | ||||||||||||||
Spain |
10,741,949 | - | 10,741,949 | - | ||||||||||||||
Switzerland |
94,054,918 | - | 94,054,918 | - | ||||||||||||||
Taiwan |
12,749,042 | 12,749,042 | - | - | ||||||||||||||
United Kingdom |
92,999,738 | - | 92,999,738 | - | ||||||||||||||
United States |
130,815,207 | 15,040,455 | 115,774,752 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
1,042,437,492 | 100,334,151 | 942,103,341 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment |
4,751,828 | - | 4,751,828 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,047,189,320 | $100,334,151 | $946,855,169 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
156
PACIFIC SELECT FUND
INTERNATIONAL SMALL-CAP PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 96.0% |
| |||||||
Australia - 4.0% |
| |||||||
EBOS Group Ltd. |
53,660 | $1,563,653 | ||||||
GUD Holdings Ltd. |
288,233 | 1,904,137 | ||||||
Imdex Ltd. |
1,441,433 | 2,175,001 | ||||||
Inghams Group Ltd. |
1,352,914 | 2,833,335 | ||||||
Nanosonics Ltd. * |
392,909 | 1,351,983 | ||||||
Servcorp Ltd. |
200,736 | 425,357 | ||||||
SomnoMed Ltd. * |
381,225 | 246,199 | ||||||
|
|
|||||||
10,499,665 | ||||||||
|
|
|||||||
Austria - 1.9% |
| |||||||
Mayr Melnhof Karton AG |
16,200 | 2,692,589 | ||||||
Strabag SE |
20,400 | 872,784 | ||||||
Wienerberger AG |
53,000 | 1,534,406 | ||||||
|
|
|||||||
5,099,779 | ||||||||
|
|
|||||||
Belgium - 1.5% |
| |||||||
Econocom Group SA NV |
424,100 | 1,361,968 | ||||||
Fagron |
150,400 | 2,569,409 | ||||||
|
|
|||||||
3,931,377 | ||||||||
|
|
|||||||
Brazil - 1.3% |
| |||||||
Atacadao SA |
244,900 | 598,666 | ||||||
Hypera SA |
238,242 | 1,772,085 | ||||||
LOG Commercial Properties e Participacoes SA |
345,995 | 1,079,261 | ||||||
|
|
|||||||
3,450,012 | ||||||||
|
|
|||||||
Canada - 2.6% |
| |||||||
CCL Industries, Inc. Class B |
42,100 | 2,091,450 | ||||||
ECN Capital Corp. |
190,900 | 395,501 | ||||||
North West Co., Inc. |
54,800 | 1,532,292 | ||||||
Open Text Corp. |
52,700 | 2,032,742 | ||||||
Parkland Corp. |
32,700 | 783,929 | ||||||
|
|
|||||||
6,835,914 | ||||||||
|
|
|||||||
Cayman - 0.2% |
| |||||||
Patria Investments Ltd. Class A |
32,700 | 483,960 | ||||||
|
|
|||||||
China - 3.8% |
| |||||||
Best Pacific International Holdings Ltd. |
2,831,726 | 407,629 | ||||||
Far East Horizon Ltd. |
2,534,657 | 2,276,104 | ||||||
Precision Tsugami China Corp. Ltd. |
1,088,972 | 1,104,246 | ||||||
Qingdao Port International Co. Ltd. Class H ~ |
3,365,372 | 1,756,400 | ||||||
Shenzhen YUTO Packaging Technology Co. Ltd. Class A |
462,216 | 1,874,581 | ||||||
TravelSky Technology Ltd. Class H |
1,159,128 | 2,159,869 | ||||||
Xingda International Holdings Ltd. |
2,861,865 | 608,293 | ||||||
|
|
|||||||
10,187,122 | ||||||||
|
|
|||||||
Denmark - 0.6% |
| |||||||
Spar Nord Bank AS |
98,815 | 1,560,782 | ||||||
|
|
|||||||
Finland - 1.5% |
| |||||||
Huhtamaki OYJ |
54,700 | 2,032,088 | ||||||
Nanoform Finland PLC * |
105,200 | 181,402 | ||||||
Rovio Entertainment OYJ ~ |
224,800 | 1,904,162 | ||||||
|
|
|||||||
4,117,652 | ||||||||
|
|
|||||||
France - 3.8% |
| |||||||
Altarea SCA REIT |
12,100 | 1,488,855 | ||||||
Antin Infrastructure Partners SA |
40,300 | 730,517 |
Shares |
Value |
|||||||
ARGAN SA REIT |
16,000 | $ 1,195,897 | ||||||
Elior Group SA * ~ |
366,400 | 1,288,767 | ||||||
Lectra |
35,700 | 1,409,432 | ||||||
Maisons du Monde SA ~ |
120,400 | 1,299,347 | ||||||
Thermador Groupe |
24,200 | 2,575,681 | ||||||
|
|
|||||||
9,988,496 | ||||||||
|
|
|||||||
Germany - 4.6% |
| |||||||
DWS Group GmbH & Co. KGaA ~ |
32,700 | 1,006,669 | ||||||
JOST Werke AG ~ |
36,200 | 1,908,776 | ||||||
Norma Group SE |
49,073 | 1,159,678 | ||||||
Rheinmetall AG |
8,470 | 2,509,238 | ||||||
Stabilus SE |
23,400 | 1,635,903 | ||||||
Takkt AG |
106,000 | 1,673,051 | ||||||
Talanx AG * |
48,500 | 2,248,052 | ||||||
|
|
|||||||
12,141,367 | ||||||||
|
|
|||||||
Greece - 0.9% |
| |||||||
Mytilineos SA |
87,000 | 2,480,221 | ||||||
|
|
|||||||
Hong Kong - 1.7% |
| |||||||
ASMPT Ltd. |
230,756 | 2,288,634 | ||||||
Sino Land Co. Ltd. |
1,212,776 | 1,640,062 | ||||||
WH Group Ltd. ~ |
1,143,000 | 681,395 | ||||||
|
|
|||||||
4,610,091 | ||||||||
|
|
|||||||
Hungary - 0.9% |
| |||||||
Richter Gedeon Nyrt |
114,686 | 2,394,550 | ||||||
|
|
|||||||
Indonesia - 0.8% |
| |||||||
P.T. Avia Avian Tbk |
20,298,483 | 805,468 | ||||||
P.T. Selamat Sempurna Tbk |
12,644,400 | 1,302,851 | ||||||
|
|
|||||||
2,108,319 | ||||||||
|
|
|||||||
Ireland - 2.1% |
| |||||||
AerCap Holdings NV * |
23,787 | 1,337,543 | ||||||
Dalata Hotel Group PLC * |
324,400 | 1,470,900 | ||||||
Irish Residential Properties REIT PLC REIT * ◇ |
1,483,600 | 1,495,162 | ||||||
Mincon Group PLC |
1,059,000 | 1,182,940 | ||||||
|
|
|||||||
5,486,545 | ||||||||
|
|
|||||||
Italy - 1.1% |
| |||||||
Banca Generali SpA |
39,800 | 1,267,045 | ||||||
Recordati Industria Chimica e Farmaceutica SpA |
38,400 | 1,624,295 | ||||||
|
|
|||||||
2,891,340 | ||||||||
|
|
|||||||
Japan - 22.6% |
| |||||||
Amano Corp. |
88,400 | 1,670,189 | ||||||
ASKUL Corp. |
127,600 | 1,661,226 | ||||||
Capcom Co. Ltd. |
41,300 | 1,478,151 | ||||||
Daiichikosho Co. Ltd. |
62,000 | 1,024,687 | ||||||
Daikyonishikawa Corp. |
245,015 | 1,195,799 | ||||||
Daiwa Industries Ltd. |
100,200 | 1,049,249 | ||||||
Dexerials Corp. |
61,800 | 1,263,496 | ||||||
Dip Corp. |
47,300 | 1,267,873 | ||||||
GMO internet group, Inc. |
101,000 | 1,968,590 | ||||||
Inaba Denki Sangyo Co. Ltd. |
73,000 | 1,595,729 | ||||||
Isuzu Motors Ltd. |
132,700 | 1,585,896 | ||||||
JAFCO Group Co. Ltd. |
81,500 | 1,167,363 | ||||||
Kamigumi Co. Ltd. |
80,300 | 1,686,966 | ||||||
Lixil Corp. |
88,900 | 1,467,370 | ||||||
Maruwa Co. Ltd. |
12,900 | 1,798,677 | ||||||
Meitec Corp. |
89,600 | 1,604,247 | ||||||
Minebea Mitsumi, Inc. |
95,800 | 1,829,445 | ||||||
Mitani Corp. |
92,400 | 939,062 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
157
PACIFIC SELECT FUND
INTERNATIONAL SMALL-CAP PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Nihon Parkerizing Co. Ltd. |
211,000 | $ 1,586,036 | ||||||
Nishimoto Co. Ltd. |
47,219 | 1,326,125 | ||||||
NOF Corp. |
35,300 | 1,649,577 | ||||||
NSD Co. Ltd. |
107,100 | 1,931,873 | ||||||
PALTAC Corp. |
56,000 | 2,127,821 | ||||||
Park24 Co. Ltd. * |
68,900 | 1,007,869 | ||||||
Persol Holdings Co. Ltd. |
63,800 | 1,284,608 | ||||||
Renesas Electronics Corp. * |
252,500 | 3,656,403 | ||||||
Roland Corp. |
62,200 | 1,878,174 | ||||||
S Foods, Inc. |
106,500 | 2,293,071 | ||||||
San-Ai Obbli Co. Ltd. |
204,100 | 2,118,657 | ||||||
Ship Healthcare Holdings, Inc. |
133,500 | 2,459,412 | ||||||
Sugi Holdings Co. Ltd. |
42,700 | 1,835,415 | ||||||
SUMCO Corp. |
115,200 | 1,733,061 | ||||||
TechnoPro Holdings, Inc. |
71,600 | 1,985,897 | ||||||
TIS, Inc. |
63,400 | 1,676,652 | ||||||
TKC Corp. |
32,000 | 888,728 | ||||||
Tsuruha Holdings, Inc. |
33,300 | 2,227,231 | ||||||
|
|
|||||||
59,920,625 | ||||||||
|
|
|||||||
Mexico - 2.6% |
| |||||||
Bolsa Mexicana de Valores SAB de CV |
1,057,459 | 2,265,732 | ||||||
Gruma SAB de CV Class B |
158,366 | 2,336,294 | ||||||
Grupo Comercial Chedraui SA de CV |
403,000 | 2,314,678 | ||||||
|
|
|||||||
6,916,704 | ||||||||
|
|
|||||||
Netherlands - 1.4% |
| |||||||
Acomo NV |
89,500 | 2,149,940 | ||||||
Arcadis NV |
37,400 | 1,531,308 | ||||||
|
|
|||||||
3,681,248 | ||||||||
|
|
|||||||
Norway - 1.1% |
| |||||||
Europris ASA ~ |
305,000 | 2,117,991 | ||||||
SpareBank 1 SMN |
61,200 | 722,990 | ||||||
|
|
|||||||
2,840,981 | ||||||||
|
|
|||||||
Peru - 0.6% |
| |||||||
Intercorp Financial Services, Inc. |
65,995 | 1,506,006 | ||||||
|
|
|||||||
Philippines - 1.6% |
| |||||||
Century Pacific Food, Inc. |
5,231,555 | 2,487,551 | ||||||
Robinsons Land Corp. |
6,718,549 | 1,820,072 | ||||||
|
|
|||||||
4,307,623 | ||||||||
|
|
|||||||
Singapore - 1.7% |
| |||||||
Hour Glass Ltd. |
782,782 | 1,283,761 | ||||||
HRnetgroup Ltd. |
2,314,635 | 1,417,896 | ||||||
Mapletree Industrial Trust REIT |
1,083,469 | 1,934,435 | ||||||
|
|
|||||||
4,636,092 | ||||||||
|
|
|||||||
South Korea - 1.9% |
| |||||||
Hyundai Marine & Fire Insurance Co. Ltd. |
45,124 | 1,171,556 | ||||||
Soulbrain Co. Ltd. |
12,800 | 2,331,316 | ||||||
Vitzrocell Co. Ltd. |
117,300 | 1,614,174 | ||||||
|
|
|||||||
5,117,046 | ||||||||
|
|
|||||||
Spain - 4.0% |
| |||||||
Cia de Distribucion Integral Logista Holdings SA |
114,300 | 2,852,068 | ||||||
CIE Automotive SA |
73,900 | 2,126,955 | ||||||
Grupo Catalana Occidente SA |
72,100 | 2,271,861 | ||||||
Indra Sistemas SA |
77,400 | 1,047,581 | ||||||
Prosegur Cia de Seguridad SA |
621,200 | 1,232,142 | ||||||
Viscofan SA |
13,900 | 995,455 | ||||||
|
|
|||||||
10,526,062 | ||||||||
|
|
Shares |
Value |
|||||||
Sweden - 1.6% |
|
|||||||
Granges AB |
185,200 | $1,766,813 | ||||||
Hexpol AB |
144,900 | 1,794,870 | ||||||
Nordnet AB publ |
35,400 | 583,649 | ||||||
|
|
|||||||
4,145,332 | ||||||||
|
|
|||||||
Taiwan - 3.5% |
| |||||||
International Games System Co. Ltd. |
168,350 | 3,175,382 | ||||||
Sporton International, Inc. |
230,990 | 2,054,828 | ||||||
Test Research, Inc. |
588,727 | 1,231,285 | ||||||
Tripod Technology Corp. |
362,609 | 1,335,829 | ||||||
Yageo Corp. |
89,964 | 1,568,262 | ||||||
|
|
|||||||
9,365,586 | ||||||||
|
|
|||||||
Tanzania - 0.3% |
| |||||||
Helios Towers PLC * |
729,940 | 935,760 | ||||||
|
|
|||||||
Thailand - 0.7% |
| |||||||
Star Petroleum Refining PCL |
5,580,077 | 1,764,932 | ||||||
|
|
|||||||
United Kingdom - 14.5% |
| |||||||
Ashtead Technology Holdings PLC * |
504,200 | 1,890,822 | ||||||
B&M European Value Retail SA |
405,633 | 2,416,670 | ||||||
Bodycote PLC |
162,025 | 1,303,589 | ||||||
DCC PLC |
12,200 | 711,153 | ||||||
Grainger PLC |
685,520 | 1,970,381 | ||||||
Harbour Energy PLC |
325,056 | 1,101,562 | ||||||
Hiscox Ltd. |
161,500 | 2,209,779 | ||||||
Informa PLC |
266,898 | 2,287,704 | ||||||
J D Wetherspoon PLC * |
205,614 | 1,813,564 | ||||||
JET2 PLC |
125,580 | 2,048,069 | ||||||
John Wood Group PLC * |
937,468 | 2,321,098 | ||||||
Lancashire Holdings Ltd. |
389,819 | 2,660,281 | ||||||
LSL Property Services PLC |
346,404 | 1,162,321 | ||||||
On the Beach Group PLC * ~ |
863,249 | 1,534,001 | ||||||
Pets at Home Group PLC |
268,100 | 1,220,386 | ||||||
Premier Foods PLC |
1,043,600 | 1,563,693 | ||||||
Rathbones Group PLC |
32,700 | 774,319 | ||||||
Sabre Insurance Group PLC ~ |
1,003,286 | 1,398,548 | ||||||
Savills PLC |
131,685 | 1,606,893 | ||||||
Tate & Lyle PLC |
283,696 | 2,747,580 | ||||||
Vistry Group PLC |
135,439 | 1,310,534 | ||||||
WH Smith PLC |
133,754 | 2,475,850 | ||||||
|
|
|||||||
38,528,797 | ||||||||
|
|
|||||||
United States - 4.6% |
| |||||||
Adient PLC * |
38,900 | 1,593,344 | ||||||
Adtalem Global Education, Inc. * |
46,400 | 1,791,968 | ||||||
Antero Resources Corp. * |
67,741 | 1,564,140 | ||||||
GCC SAB de CV |
329,010 | 2,608,162 | ||||||
GrafTech International Ltd. |
187,291 | 910,234 | ||||||
Impro Precision Industries Ltd. ~ |
1,797,821 | 661,210 | ||||||
Ovintiv, Inc. |
32,700 | 1,179,816 | ||||||
RHI Magnesita NV |
70,500 | 1,953,128 | ||||||
|
|
|||||||
12,262,002 | ||||||||
|
|
|||||||
Total Common Stocks |
254,721,988 | |||||||
|
|
|||||||
EXCHANGE-TRADED FUND - 2.6% |
|
|||||||
iShares MSCI India * |
175,700 | 6,915,552 | ||||||
|
|
|||||||
Total Exchange-Traded Fund |
6,915,552 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
158
PACIFIC SELECT FUND
INTERNATIONAL SMALL-CAP PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 0.4% |
|
|||||||
Repurchase Agreement - 0.4% |
| |||||||
Fixed Income Clearing Corp. |
$984,302 | $984,302 | ||||||
|
|
|||||||
Total Short-Term Investment |
984,302 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.0% |
262,621,842 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 1.0% |
2,690,710 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$265,312,552 | |||||||
|
|
Notes to Schedule of Investments
(a) | Restricted securities as of March 31, 2023 were as follows |
Issuer and Acquisition Date | Cost | Value | Value as a % of Net Assets |
|||||||||
Irish Residential Properties |
$2,664,574 | $1,495,162 | 0.6% |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
159
PACIFIC SELECT FUND
INTERNATIONAL SMALL-CAP PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
|||||||||||||||||
Australia |
$10,499,665 | $425,357 | $10,074,308 | $- | ||||||||||||||
Austria |
5,099,779 | 872,784 | 4,226,995 | - | ||||||||||||||
Belgium |
3,931,377 | - | 3,931,377 | - | ||||||||||||||
Brazil |
3,450,012 | 3,450,012 | - | - | ||||||||||||||
Canada |
6,835,914 | 6,835,914 | - | - | ||||||||||||||
Cayman |
483,960 | 483,960 | - | - | ||||||||||||||
China |
10,187,122 | 1,511,875 | 8,675,247 | - | ||||||||||||||
Denmark |
1,560,782 | - | 1,560,782 | - | ||||||||||||||
Finland |
4,117,652 | 181,402 | 3,936,250 | - | ||||||||||||||
France |
9,988,496 | - | 9,988,496 | - | ||||||||||||||
Germany |
12,141,367 | - | 12,141,367 | - | ||||||||||||||
Greece |
2,480,221 | - | 2,480,221 | - | ||||||||||||||
Hong Kong |
4,610,091 | - | 4,610,091 | - | ||||||||||||||
Hungary |
2,394,550 | - | 2,394,550 | - | ||||||||||||||
Indonesia |
2,108,319 | 2,108,319 | - | - | ||||||||||||||
Ireland |
5,486,545 | 2,520,483 | 2,966,062 | - | ||||||||||||||
Italy |
2,891,340 | - | 2,891,340 | - | ||||||||||||||
Japan |
59,920,625 | - | 59,920,625 | - | ||||||||||||||
Mexico |
6,916,704 | 6,916,704 | - | - | ||||||||||||||
Netherlands |
3,681,248 | 2,149,940 | 1,531,308 | - | ||||||||||||||
Norway |
2,840,981 | - | 2,840,981 | - | ||||||||||||||
Peru |
1,506,006 | 1,506,006 | - | - | ||||||||||||||
Philippines |
4,307,623 | 2,487,551 | 1,820,072 | - | ||||||||||||||
Singapore |
4,636,092 | - | 4,636,092 | - | ||||||||||||||
South Korea |
5,117,046 | - | 5,117,046 | - | ||||||||||||||
Spain |
10,526,062 | - | 10,526,062 | - | ||||||||||||||
Sweden |
4,145,332 | - | 4,145,332 | - | ||||||||||||||
Taiwan |
9,365,586 | - | 9,365,586 | - | ||||||||||||||
Tanzania, United Republic Of |
935,760 | - | 935,760 | - | ||||||||||||||
Thailand |
1,764,932 | - | 1,764,932 | - | ||||||||||||||
United Kingdom |
38,528,797 | 9,456,022 | 29,072,775 | - | ||||||||||||||
United States |
12,262,002 | 9,647,664 | 2,614,338 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
254,721,988 | 50,553,993 | 204,167,995 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Exchange-Traded Fund |
6,915,552 | 6,915,552 | - | - | ||||||||||||||
Short-Term Investment |
984,302 | - | 984,302 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$262,621,842 | $57,469,545 | $205,152,297 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
160
PACIFIC SELECT FUND
INTERNATIONAL VALUE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
PREFERRED STOCKS - 0.8% |
| |||||||
Germany - 0.8% |
| |||||||
Henkel AG & Co. KGaA |
86,240 | $6,746,894 | ||||||
|
|
|||||||
Total Preferred Stocks |
6,746,894 | |||||||
|
|
|||||||
COMMON STOCKS - 95.6% |
| |||||||
Austria - 1.9% |
| |||||||
ams-OSRAM AG * |
406,241 | 3,165,714 | ||||||
Erste Group Bank AG |
238,204 | 7,891,542 | ||||||
Mondi PLC |
309,098 | 4,907,550 | ||||||
|
|
|||||||
15,964,806 | ||||||||
|
|
|||||||
Belgium - 1.1% |
| |||||||
Ageas SA |
135,427 | 5,858,341 | ||||||
Proximus SADP |
391,312 | 3,784,086 | ||||||
|
|
|||||||
9,642,427 | ||||||||
|
|
|||||||
Brazil - 3.0% |
| |||||||
Atacadao SA |
1,424,555 | 3,482,374 | ||||||
Banco Bradesco SA ADR |
2,986,581 | 7,824,842 | ||||||
Cia de Saneamento Basico do Estado de Sao Paulo SABESP |
395,302 | 3,947,209 | ||||||
Telefonica Brasil SA |
812,813 | 6,199,795 | ||||||
Ultrapar Participacoes SA |
1,404,026 | 3,867,100 | ||||||
|
|
|||||||
25,321,320 | ||||||||
|
|
|||||||
Burkina Faso - 0.5% |
| |||||||
Endeavour Mining PLC |
159,636 | 3,847,092 | ||||||
|
|
|||||||
Canada - 1.9% |
| |||||||
ARC Resources Ltd. |
256,383 | 2,908,140 | ||||||
Barrick Gold Corp. (TSE) |
445,204 | 8,265,016 | ||||||
Cameco Corp. (NYSE) |
134,737 | 3,526,067 | ||||||
Kinross Gold Corp. |
287,562 | 1,354,417 | ||||||
|
|
|||||||
16,053,640 | ||||||||
|
|
|||||||
China - 0.6% |
| |||||||
Baidu, Inc. Class A * |
63,387 | 1,194,292 | ||||||
Dongfeng Motor Group Co. Ltd. Class H |
7,668,787 | 3,602,504 | ||||||
|
|
|||||||
4,796,796 | ||||||||
|
|
|||||||
Finland - 1.6% |
| |||||||
Nokia OYJ (OMXH) |
1,673,309 | 8,214,081 | ||||||
Wartsila OYJ Abp |
596,149 | 5,626,017 | ||||||
|
|
|||||||
13,840,098 | ||||||||
|
|
|||||||
France - 11.7% |
| |||||||
AXA SA |
462,447 | 14,112,759 | ||||||
BNP Paribas SA |
172,890 | 10,324,563 | ||||||
Carrefour SA |
413,769 | 8,365,411 | ||||||
Cie de Saint-Gobain |
178,583 | 10,151,294 | ||||||
Dassault Aviation SA |
13,846 | 2,739,155 | ||||||
Engie SA |
866,625 | 13,714,071 | ||||||
Orange SA |
763,906 | 9,075,336 | ||||||
Renault SA * |
151,225 | 6,163,350 | ||||||
Societe Generale SA |
317,871 | 7,162,061 | ||||||
TotalEnergies SE |
307,687 | 18,142,355 | ||||||
|
|
|||||||
99,950,355 | ||||||||
|
|
Shares |
Value |
|||||||
Germany - 5.3% |
|
|||||||
CECONOMY AG * |
426,893 | $1,163,841 | ||||||
Continental AG |
69,420 | 5,201,599 | ||||||
Daimler Truck Holding AG * |
304,438 | 10,274,482 | ||||||
Evonik Industries AG |
231,226 | 4,864,793 | ||||||
Fresenius SE & Co. KGaA |
288,466 | 7,789,515 | ||||||
HeidelbergCement AG |
148,101 | 10,813,911 | ||||||
Mercedes-Benz Group AG |
70,307 | 5,406,802 | ||||||
|
|
|||||||
45,514,943 | ||||||||
|
|
|||||||
Hong Kong - 1.4% |
| |||||||
CK Asset Holdings Ltd. |
1,124,740 | 6,818,926 | ||||||
WH Group Ltd. ~ |
9,307,761 | 5,548,790 | ||||||
|
|
|||||||
12,367,716 | ||||||||
|
|
|||||||
India - 0.8% |
| |||||||
Canara Bank |
1,188,307 | 4,130,916 | ||||||
Oil & Natural Gas Corp. Ltd. |
1,331,260 | 2,453,417 | ||||||
|
|
|||||||
6,584,333 | ||||||||
|
|
|||||||
Indonesia - 0.6% |
| |||||||
P.T. Bank Mandiri Persero Tbk |
7,745,281 | 5,333,760 | ||||||
|
|
|||||||
Ireland - 1.4% |
| |||||||
AIB Group PLC |
1,299,630 | 5,260,306 | ||||||
Bank of Ireland Group PLC |
628,527 | 6,359,623 | ||||||
|
|
|||||||
11,619,929 | ||||||||
|
|
|||||||
Italy - 5.1% |
| |||||||
Assicurazioni Generali SpA |
399,748 | 7,964,817 | ||||||
BPER Banca |
1,887,413 | 4,643,839 | ||||||
Eni SpA |
971,591 | 13,550,162 | ||||||
UniCredit SpA |
921,041 | 17,359,648 | ||||||
|
|
|||||||
43,518,466 | ||||||||
|
|
|||||||
Japan - 23.9% |
| |||||||
Alfresa Holdings Corp. |
222,390 | 2,849,426 | ||||||
Alps Alpine Co. Ltd. |
278,176 | 2,677,045 | ||||||
Amada Co. Ltd. |
399,170 | 3,741,597 | ||||||
Benesse Holdings, Inc. |
16,683 | 244,468 | ||||||
Dai-ichi Life Holdings, Inc. |
409,765 | 7,532,905 | ||||||
DeNA Co. Ltd. * |
211,441 | 2,889,501 | ||||||
Eisai Co. Ltd. |
43,814 | 2,488,617 | ||||||
Fuji Media Holdings, Inc. |
140,232 | 1,266,620 | ||||||
Hakuhodo DY Holdings, Inc. |
260,740 | 2,956,122 | ||||||
Hino Motors Ltd. * |
795,588 | 3,331,533 | ||||||
Honda Motor Co. Ltd. |
470,340 | 12,441,041 | ||||||
Inpex Corp. |
517,816 | 5,479,799 | ||||||
Isuzu Motors Ltd. |
536,221 | 6,408,370 | ||||||
Japan Airlines Co. Ltd. |
227,997 | 4,445,508 | ||||||
JGC Holdings Corp. |
301,520 | 3,747,312 | ||||||
Kirin Holdings Co. Ltd. |
489,067 | 7,737,417 | ||||||
Makita Corp. |
266,608 | 6,639,833 | ||||||
Mitsubishi Estate Co. Ltd. |
502,457 | 5,976,557 | ||||||
Mitsubishi UFJ Financial Group, Inc. |
1,801,533 | 11,545,427 | ||||||
MS&AD Insurance Group Holdings, Inc. |
259,055 | 8,028,337 | ||||||
Nikon Corp. |
435,804 | 4,474,056 | ||||||
Nippon Television Holdings, Inc. |
262,457 | 2,262,883 | ||||||
Nissan Motor Co. Ltd. |
1,929,878 | 7,303,792 | ||||||
Nomura Holdings, Inc. |
613,845 | 2,366,567 | ||||||
Ono Pharmaceutical Co. Ltd. |
295,680 | 6,161,432 | ||||||
Resona Holdings, Inc. |
1,409,845 | 6,801,289 | ||||||
Stanley Electric Co. Ltd. |
231,786 | 5,152,703 | ||||||
Subaru Corp. |
363,618 | 5,804,656 | ||||||
Sumitomo Electric Industries Ltd. |
571,413 | 7,340,897 | ||||||
Sumitomo Heavy Industries Ltd. |
172,581 | 4,232,082 | ||||||
Sumitomo Mitsui Trust Holdings, Inc. |
258,397 | 8,877,475 | ||||||
Sumitomo Rubber Industries Ltd. |
333,447 | 3,016,849 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
161
PACIFIC SELECT FUND
INTERNATIONAL VALUE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
T&D Holdings, Inc. |
841,066 | $ 10,424,065 | ||||||
Taiheiyo Cement Corp. |
170,621 | 3,206,565 | ||||||
Takeda Pharmaceutical Co. Ltd. |
232,278 | 7,628,832 | ||||||
THK Co. Ltd. |
229,919 | 5,329,430 | ||||||
Tsuruha Holdings, Inc. |
62,306 | 4,167,262 | ||||||
Yamato Holdings Co. Ltd. |
427,987 | 7,346,516 | ||||||
|
|
|||||||
204,324,786 | ||||||||
|
|
|||||||
Luxembourg - 0.5% |
| |||||||
RTL Group SA * |
82,194 | 4,049,165 | ||||||
|
|
|||||||
Malaysia - 0.5% |
| |||||||
CIMB Group Holdings Bhd |
3,333,361 | 4,017,181 | ||||||
|
|
|||||||
Mexico - 0.4% |
| |||||||
Fresnillo PLC |
358,638 | 3,311,678 | ||||||
|
|
|||||||
Netherlands - 6.3% |
| |||||||
ABN AMRO Bank NV CVA ~ |
617,837 | 9,797,319 | ||||||
ING Groep NV |
738,687 | 8,772,155 | ||||||
Koninklijke Philips NV |
495,067 | 9,092,835 | ||||||
Shell PLC |
909,660 | 25,924,009 | ||||||
|
|
|||||||
53,586,318 | ||||||||
|
|
|||||||
Norway - 0.1% |
| |||||||
Norsk Hydro ASA |
163,102 | 1,217,299 | ||||||
|
|
|||||||
Russia - 0.1% |
| |||||||
Gazprom PJSC * W ± |
340,336 | - | ||||||
Gazprom PJSC ADR (OTC) * W ± |
384 | - | ||||||
Gazprom PJSC ADR (SEAQ) * W ± |
142,682 | - | ||||||
LUKOIL PJSC ADR (OTC) * W ± |
24,064 | - | ||||||
Mobile TeleSystems PJSC ADR * W ± |
327,186 | 1 | ||||||
Sberbank of Russia PJSC * W ± |
927,996 | - | ||||||
VEON Ltd. * |
60,476 | 1,065,587 | ||||||
|
|
|||||||
1,065,588 | ||||||||
|
|
|||||||
South Africa - 1.2% |
| |||||||
Anglo American PLC |
195,714 | 6,509,739 | ||||||
MTN Group Ltd. |
143,758 | 1,029,947 | ||||||
Old Mutual Ltd. |
4,421,721 | 2,931,101 | ||||||
|
|
|||||||
10,470,787 | ||||||||
|
|
|||||||
South Korea - 4.5% |
| |||||||
Coway Co. Ltd. |
90,847 | 3,666,549 | ||||||
Hankook Tire & Technology Co. Ltd. |
126,134 | 3,373,836 | ||||||
Hyundai Mobis Co. Ltd. |
40,522 | 6,730,284 | ||||||
KB Financial Group, Inc. |
250,272 | 9,140,481 | ||||||
KT Corp. ADR * |
577,202 | 6,545,471 | ||||||
Shinhan Financial Group Co. Ltd. |
315,618 | 8,573,862 | ||||||
|
|
|||||||
38,030,483 | ||||||||
|
|
|||||||
Spain - 0.4% |
| |||||||
CaixaBank SA (SIBE) |
809,780 | 3,159,722 | ||||||
|
|
|||||||
Sweden - 1.9% |
| |||||||
SKF AB Class B |
488,561 | 9,623,136 | ||||||
Telefonaktiebolaget LM Ericsson Class B |
1,129,055 | 6,618,320 | ||||||
|
|
|||||||
16,241,456 | ||||||||
|
|
|||||||
Switzerland - 5.9% |
| |||||||
Adecco Group AG |
225,273 | 8,205,577 | ||||||
Novartis AG |
192,770 | 17,699,856 | ||||||
The Swatch Group AG |
24,713 | 8,510,925 | ||||||
UBS Group AG (XVTX) |
768,696 | 16,266,214 | ||||||
|
|
|||||||
50,682,572 | ||||||||
|
|
Shares |
Value |
|||||||
Taiwan - 1.1% |
|
|||||||
Catcher Technology Co. Ltd. |
730,362 | $4,565,708 | ||||||
Hon Hai Precision Industry Co. Ltd. |
1,403,587 | 4,804,471 | ||||||
|
|
|||||||
9,370,179 | ||||||||
|
|
|||||||
Thailand - 0.8% |
| |||||||
Kasikornbank PCL |
1,667,962 | 6,471,803 | ||||||
Kasikornbank PCL NVDR |
123,832 | 480,364 | ||||||
|
|
|||||||
6,952,167 | ||||||||
|
|
|||||||
United Kingdom - 8.4% |
| |||||||
Babcock International Group PLC * |
797,372 | 2,945,636 | ||||||
BP PLC |
2,787,751 | 17,620,032 | ||||||
British Land Co. PLC REIT |
672,484 | 3,225,681 | ||||||
BT Group PLC |
3,241,638 | 5,839,248 | ||||||
easyJet PLC * |
1,126,664 | 7,200,503 | ||||||
J Sainsbury PLC |
1,393,881 | 4,796,600 | ||||||
Kingfisher PLC |
1,011,418 | 3,269,413 | ||||||
Land Securities Group PLC REIT |
461,910 | 3,545,873 | ||||||
Marks & Spencer Group PLC * |
609,123 | 1,256,610 | ||||||
Standard Chartered PLC |
1,515,108 | 11,483,098 | ||||||
WPP PLC |
900,177 | 10,694,920 | ||||||
|
|
|||||||
71,877,614 | ||||||||
|
|
|||||||
United States - 2.7% |
| |||||||
GSK PLC |
798,101 | 14,101,896 | ||||||
Holcim AG * |
139,324 | 8,985,186 | ||||||
|
|
|||||||
23,087,082 | ||||||||
|
|
|||||||
Total Common Stocks |
815,799,758 | |||||||
|
|
|||||||
EXCHANGE-TRADED FUND - 0.6% |
| |||||||
iShares Core MSCI EAFE |
76,589 | 5,119,975 | ||||||
|
|
|||||||
Total Exchange-Traded Fund |
5,119,975 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
162
PACIFIC SELECT FUND
INTERNATIONAL VALUE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal Amount |
Value |
|||||||
SHORT-TERM INVESTMENT - 1.5% |
|
|||||||
Repurchase Agreement - 1.5% |
| |||||||
Fixed Income Clearing Corp. |
$12,762,333 | $12,762,333 | ||||||
|
|
|||||||
Total Short-Term Investment |
12,762,333 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 98.5% |
840,428,960 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 1.5% |
13,047,360 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$853,476,320 | |||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $1 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Preferred Stocks |
$6,746,894 | $- | $6,746,894 | $- | |||||||||||||
Common Stocks |
||||||||||||||||||
Austria |
15,964,806 | - | 15,964,806 | - | ||||||||||||||
Belgium |
9,642,427 | - | 9,642,427 | - | ||||||||||||||
Brazil |
25,321,320 | 25,321,320 | - | - | ||||||||||||||
Burkina Faso |
3,847,092 | 3,847,092 | - | - | ||||||||||||||
Canada |
16,053,640 | 16,053,640 | - | - | ||||||||||||||
China |
4,796,796 | - | 4,796,796 | - | ||||||||||||||
Finland |
13,840,098 | - | 13,840,098 | - | ||||||||||||||
France |
99,950,355 | - | 99,950,355 | - | ||||||||||||||
Germany |
45,514,943 | - | 45,514,943 | - | ||||||||||||||
Hong Kong |
12,367,716 | - | 12,367,716 | - | ||||||||||||||
India |
6,584,333 | - | 6,584,333 | - | ||||||||||||||
Indonesia |
5,333,760 | - | 5,333,760 | - | ||||||||||||||
Ireland |
11,619,929 | - | 11,619,929 | - | ||||||||||||||
Italy |
43,518,466 | - | 43,518,466 | - | ||||||||||||||
Japan |
204,324,786 | - | 204,324,786 | - | ||||||||||||||
Luxembourg |
4,049,165 | - | 4,049,165 | - | ||||||||||||||
Malaysia |
4,017,181 | - | 4,017,181 | - | ||||||||||||||
Mexico |
3,311,678 | - | 3,311,678 | - | ||||||||||||||
Netherlands |
53,586,318 | - | 53,586,318 | - | ||||||||||||||
Norway |
1,217,299 | - | 1,217,299 | - | ||||||||||||||
Russia |
1,065,588 | 1,065,587 | - | 1 | ||||||||||||||
South Africa |
10,470,787 | - | 10,470,787 | - | ||||||||||||||
South Korea |
38,030,483 | 6,545,471 | 31,485,012 | - | ||||||||||||||
Spain |
3,159,722 | - | 3,159,722 | - | ||||||||||||||
Sweden |
16,241,456 | - | 16,241,456 | - | ||||||||||||||
Switzerland |
50,682,572 | - | 50,682,572 | - | ||||||||||||||
Taiwan |
9,370,179 | - | 9,370,179 | - | ||||||||||||||
Thailand |
6,952,167 | - | 6,952,167 | - | ||||||||||||||
United Kingdom |
71,877,614 | - | 71,877,614 | - | ||||||||||||||
United States |
23,087,082 | - | 23,087,082 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
815,799,758 | 52,833,110 | 762,966,647 | 1 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Exchange-Traded Fund |
5,119,975 | 5,119,975 | - | - | ||||||||||||||
Short-Term Investment |
12,762,333 | - | 12,762,333 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$840,428,960 | $57,953,085 | $782,475,874 | $1 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
163
PACIFIC SELECT FUND
HEALTH SCIENCES PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
RIGHTS - 0.0% |
| |||||||
Technology - 0.0% |
| |||||||
Contra Abiomed, Inc. - Contingent Value Rights * W ± |
11,083 | $30,922 | ||||||
|
|
|||||||
Total Rights |
30,922 | |||||||
|
|
|||||||
WARRANTS - 0.0% |
| |||||||
Consumer, Non-Cyclical - 0.0% |
| |||||||
CareMax, Inc. Exercise @ $ 11.50 Exp 07/16/25 * |
3,646 | 1,853 | ||||||
Nuvation Bio, Inc. Exercise @ $ 11.50 Exp 07/07/27 * |
3,472 | 417 | ||||||
|
|
|||||||
2,270 | ||||||||
|
|
|||||||
Total Warrants |
2,270 | |||||||
|
|
|||||||
COMMON STOCKS - 97.5% |
| |||||||
Consumer, Non-Cyclical - 96.6% |
| |||||||
10X Genomics, Inc. Class A * |
6,807 | 379,763 | ||||||
Abbott Laboratories |
89,694 | 9,082,414 | ||||||
AbbVie, Inc. |
77,490 | 12,349,581 | ||||||
Agiliti, Inc. * |
29,088 | 464,826 | ||||||
Alcon, Inc. (Switzerland) |
62,454 | 4,405,505 | ||||||
Align Technology, Inc. * |
2,805 | 937,263 | ||||||
Alkermes PLC * |
22,807 | 642,929 | ||||||
Alnylam Pharmaceuticals, Inc. * |
11,422 | 2,288,055 | ||||||
AmerisourceBergen Corp. |
40,464 | 6,478,691 | ||||||
Amgen, Inc. |
47,115 | 11,390,051 | ||||||
Apellis Pharmaceuticals, Inc. * |
9,440 | 622,662 | ||||||
Arcutis Biotherapeutics, Inc. * |
34,856 | 383,416 | ||||||
Argenx SE ADR * (Netherlands) |
5,090 | 1,896,432 | ||||||
Arvinas, Inc. * |
10,600 | 289,592 | ||||||
AstraZeneca PLC (United Kingdom) |
28,438 | 3,940,206 | ||||||
AstraZeneca PLC ADR (United Kingdom) |
18,553 | 1,287,764 | ||||||
Avantor, Inc. * |
58,070 | 1,227,600 | ||||||
Bausch & Lomb Corp. * |
57,594 | 1,002,712 | ||||||
Baxter International, Inc. |
77,158 | 3,129,528 | ||||||
Becton Dickinson & Co. |
24,885 | 6,160,033 | ||||||
Biogen, Inc. * |
15,061 | 4,187,410 | ||||||
BioMarin Pharmaceutical, Inc. * |
24,587 | 2,390,840 | ||||||
Biomea Fusion, Inc. * |
12,099 | 375,190 | ||||||
BioNTech SE ADR (Germany) |
7,155 | 891,298 | ||||||
Blueprint Medicines Corp. * |
18,580 | 835,914 | ||||||
Boston Scientific Corp. * |
302,457 | 15,131,924 | ||||||
Bristol-Myers Squibb Co. |
28,146 | 1,950,799 | ||||||
Catalent, Inc. * |
14,315 | 940,639 | ||||||
Centene Corp. * |
20,829 | 1,316,601 | ||||||
Cerevel Therapeutics Holdings, Inc. * |
14,624 | 356,679 | ||||||
Cigna Group |
9,171 | 2,343,466 | ||||||
Cooper Cos., Inc. |
9,112 | 3,402,056 | ||||||
CureVac NV * (Germany) |
14,364 | 100,117 | ||||||
Daiichi Sankyo Co. Ltd. (Japan) |
73,200 | 2,670,163 | ||||||
Danaher Corp. |
53,805 | 13,561,012 | ||||||
Decibel Therapeutics, Inc. * |
20,803 | 62,825 | ||||||
Design Therapeutics, Inc. * |
11,344 | 65,455 | ||||||
Dexcom, Inc. * |
38,066 | 4,422,508 | ||||||
Edwards Lifesciences Corp. * |
25,917 | 2,144,113 | ||||||
Elevance Health, Inc. |
8,788 | 4,040,810 | ||||||
Eli Lilly & Co. |
67,578 | 23,207,637 | ||||||
Enanta Pharmaceuticals, Inc. * |
2,470 | 99,887 | ||||||
Encompass Health Corp. |
10,847 | 586,823 |
Shares |
Value |
|||||||
Envista Holdings Corp. * |
14,915 | $ 609,725 | ||||||
Exact Sciences Corp. * |
11,565 | 784,223 | ||||||
Frequency Therapeutics, Inc. * |
19,740 | 9,929 | ||||||
GE HealthCare Technologies, Inc. * |
47,560 | 3,901,347 | ||||||
Genmab AS * (Denmark) |
1,934 | 731,062 | ||||||
Genmab AS ADR * (Denmark) |
13,000 | 490,880 | ||||||
Gilead Sciences, Inc. |
120,569 | 10,003,610 | ||||||
Glaukos Corp. * |
3,530 | 176,853 | ||||||
Guardant Health, Inc. * |
9,220 | 216,117 | ||||||
HCA Healthcare, Inc. |
10,117 | 2,667,651 | ||||||
Hologic, Inc. * |
7,745 | 625,021 | ||||||
Horizon Therapeutics PLC * |
5,304 | 578,879 | ||||||
Humana, Inc. |
6,335 | 3,075,389 | ||||||
ICON PLC ADR (Ireland) * |
5,965 | 1,274,064 | ||||||
IDEXX Laboratories, Inc. * |
5,040 | 2,520,403 | ||||||
Illumina, Inc. * |
8,740 | 2,032,487 | ||||||
Immuneering Corp. Class A * |
11,507 | 111,733 | ||||||
Immunocore Holdings PLC ADR * (United Kingdom) |
7,997 | 395,372 | ||||||
Incyte Corp. * |
23,005 | 1,662,571 | ||||||
Insulet Corp. * |
5,970 | 1,904,191 | ||||||
Intuitive Surgical, Inc. * |
39,321 | 10,045,336 | ||||||
Ionis Pharmaceuticals, Inc. * |
13,405 | 479,095 | ||||||
IQVIA Holdings, Inc. * |
18,215 | 3,622,781 | ||||||
iRhythm Technologies, Inc. * |
1,670 | 207,130 | ||||||
IVERIC bio, Inc. * |
8,505 | 206,927 | ||||||
Johnson & Johnson |
70,577 | 10,939,435 | ||||||
Karuna Therapeutics, Inc. * |
1,285 | 233,407 | ||||||
Krystal Biotech, Inc. * |
2,235 | 178,934 | ||||||
Legend Biotech Corp. ADR * |
10,392 | 501,102 | ||||||
Masimo Corp. * |
6,230 | 1,149,684 | ||||||
McKesson Corp. |
17,617 | 6,272,533 | ||||||
Medtronic PLC |
97,292 | 7,843,681 | ||||||
Merck & Co., Inc. |
165,487 | 17,606,162 | ||||||
Mirati Therapeutics, Inc. * |
10,615 | 394,666 | ||||||
Moderna, Inc. * |
19,979 | 3,068,375 | ||||||
Monte Rosa Therapeutics, Inc. * |
22,869 | 178,150 | ||||||
Morphic Holding, Inc. * |
4,980 | 187,447 | ||||||
Nautilus Biotechnology, Inc. SPAC * |
13,880 | 38,448 | ||||||
Neurocrine Biosciences, Inc. * |
16,210 | 1,640,776 | ||||||
Novo Nordisk AS Class B (Denmark) |
18,405 | 2,923,105 | ||||||
Novocure Ltd. * |
19,560 | 1,176,338 | ||||||
Nuvalent, Inc. Class A * |
8,080 | 210,807 | ||||||
Omnicell, Inc. * |
5,152 | 302,268 | ||||||
Orchestra BioMed Holdings, Inc. * |
11,840 | 231,709 | ||||||
Penumbra, Inc. * |
15,405 | 4,293,219 | ||||||
Pfizer, Inc. |
143,946 | 5,872,997 | ||||||
Pliant Therapeutics, Inc. * |
8,876 | 236,102 | ||||||
PMV Pharmaceuticals, Inc. * |
14,248 | 67,963 | ||||||
Prime Medicine, Inc. * |
16,502 | 202,975 | ||||||
Prometheus Biosciences, Inc. * |
4,949 | 531,127 | ||||||
Protagonist Therapeutics, Inc. * |
13,540 | 311,420 | ||||||
Prothena Corp. PLC * (Ireland) |
6,265 | 303,665 | ||||||
PTC Therapeutics, Inc. * |
4,465 | 216,285 | ||||||
QIAGEN NV * |
22,146 | 1,017,166 | ||||||
Quest Diagnostics, Inc. |
28,025 | 3,964,977 | ||||||
Rapid Micro Biosystems, Inc. Class A * |
16,316 | 21,374 | ||||||
Regeneron Pharmaceuticals, Inc. * |
12,335 | 10,135,299 | ||||||
Repligen Corp. * |
5,695 | 958,810 | ||||||
ResMed, Inc. |
10,197 | 2,233,041 | ||||||
REVOLUTION Medicines, Inc. * |
13,995 | 303,132 | ||||||
Rhythm Pharmaceuticals, Inc. * |
34,632 | 617,835 | ||||||
Roche Holding AG |
4,677 | 1,336,417 | ||||||
Rocket Pharmaceuticals, Inc. * |
12,263 | 210,065 | ||||||
Sage Therapeutics, Inc. * |
15,705 | 658,982 | ||||||
Sanofi |
17,776 | 1,928,318 | ||||||
Sarepta Therapeutics, Inc. * |
13,024 | 1,795,098 | ||||||
Seagen, Inc. * |
15,481 | 3,134,438 | ||||||
STERIS PLC |
6,715 | 1,284,445 | ||||||
Structure Therapeutics, Inc. ADR * |
9,293 | 221,080 | ||||||
Stryker Corp. |
46,189 | 13,185,574 | ||||||
Tenaya Therapeutics, Inc. * |
19,591 | 55,834 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
164
PACIFIC SELECT FUND
HEALTH SCIENCES PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Thermo Fisher Scientific, Inc. |
35,096 | $ 20,228,282 | ||||||
TScan Therapeutics, Inc. * |
23,807 | 49,995 | ||||||
Ultragenyx Pharmaceutical, Inc. * |
4,520 | 181,252 | ||||||
UnitedHealth Group, Inc. |
64,503 | 30,483,473 | ||||||
Vertex Pharmaceuticals, Inc. * |
33,264 | 10,480,488 | ||||||
Viking Therapeutics, Inc. * |
11,710 | 194,972 | ||||||
Waters Corp. * |
8,635 | 2,673,655 | ||||||
West Pharmaceutical Services, Inc. |
10,661 | 3,693,717 | ||||||
Zimmer Biomet Holdings, Inc. |
10,825 | 1,398,590 | ||||||
Zoetis, Inc. |
55,961 | 9,314,149 | ||||||
|
|
|||||||
390,649,203 | ||||||||
|
|
|||||||
Industrial - 0.9% |
| |||||||
Agilent Technologies, Inc. |
17,852 | 2,469,646 | ||||||
Mettler-Toledo International, Inc. * |
755 | 1,155,308 | ||||||
|
|
|||||||
3,624,954 | ||||||||
|
|
|||||||
Total Common Stocks |
394,274,157 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 2.5% |
|
|||||||
Repurchase Agreement - 2.5% |
| |||||||
Fixed Income Clearing Corp. |
$9,963,521 | 9,963,521 | ||||||
|
|
|||||||
Total Short-Term Investment |
9,963,521 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
404,270,870 | |||||||
|
|
|||||||
DERIVATIVES - (0.0%) |
(92,309 | ) | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.0% |
|
123,477 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$404,302,038 | |||||||
|
|
Notes to Schedule of Investments
(a) | An investment with a value of $30,922 or less than 0.1% of the Funds net assets was valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or to the Board of Trustees. |
(b) | Forward foreign currency contracts outstanding as of March 31, 2023 were as follows: |
Currency Purchased |
Currency Sold |
Settlement Month |
Counterparty | Unrealized Appreciation |
Unrealized Depreciation |
|||||||||||||||||||||||||||||
USD | 1,903,504 | EUR | 1,763,000 | 06/23 | ANZ | $- | ($16,229 | ) | ||||||||||||||||||||||||||
USD | 6,266,255 | GBP | 5,134,000 | 06/23 | CBA | - | (76,080 | ) | ||||||||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||||||||
Total Forward Foreign Currency Contracts |
|
$- | ($92,309 | ) | ||||||||||||||||||||||||||||||
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
165
PACIFIC SELECT FUND
HEALTH SCIENCES PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Rights |
$30,922 | $- | $ | $30,922 | |||||||||||||
Warrants |
2,270 | 2,270 | - | - | ||||||||||||||
Common Stocks |
||||||||||||||||||
Consumer, Non-Cyclical |
390,649,203 | 377,119,932 | 13,529,271 | - | ||||||||||||||
Industrial |
3,624,954 | 3,624,954 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
394,274,157 | 380,744,886 | 13,529,271 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment |
9,963,521 | - | 9,963,521 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Assets |
404,270,870 | 380,747,156 | 23,492,792 | 30,922 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Liabilities |
Derivatives: |
|||||||||||||||||
Foreign Currency Contracts |
||||||||||||||||||
Forward Foreign Currency Contracts |
(92,309 | ) | - | (92,309 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Liabilities |
(92,309 | ) | - | (92,309 | ) | - | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$404,178,561 | $380,747,156 | $23,400,483 | $30,922 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
166
PACIFIC SELECT FUND
REAL ESTATE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.5% |
| |||||||
Consumer, Cyclical - 1.1% |
| |||||||
Marriott Vacations Worldwide Corp. |
34,763 | $4,688,138 | ||||||
|
|
|||||||
Financial - 97.4% |
| |||||||
Agree Realty Corp. REIT |
79,961 | 5,486,124 | ||||||
Alexandria Real Estate Equities, Inc. REIT |
110,810 | 13,916,628 | ||||||
American Homes 4 Rent Class A REIT |
454,213 | 14,284,999 | ||||||
American Tower Corp. REIT |
80,673 | 16,484,721 | ||||||
Apartment Income REIT Corp. |
218,210 | 7,814,100 | ||||||
Apple Hospitality REIT, Inc. |
236,463 | 3,669,906 | ||||||
AvalonBay Communities, Inc. REIT |
121,018 | 20,338,285 | ||||||
Boston Properties, Inc. REIT |
48,600 | 2,630,232 | ||||||
Broadstone Net Lease, Inc. REIT |
353,676 | 6,016,029 | ||||||
Cousins Properties, Inc. REIT |
223,996 | 4,789,034 | ||||||
CubeSmart REIT |
252,157 | 11,654,697 | ||||||
DiamondRock Hospitality Co. REIT |
344,667 | 2,802,143 | ||||||
Digital Realty Trust, Inc. REIT |
142,327 | 13,992,167 | ||||||
Equinix, Inc. REIT |
21,842 | 15,748,956 | ||||||
Equity LifeStyle Properties, Inc. REIT |
197,209 | 13,238,640 | ||||||
Equity Residential REIT |
58,194 | 3,491,640 | ||||||
Essex Property Trust, Inc. REIT |
73,322 | 15,334,563 | ||||||
Extra Space Storage, Inc. REIT |
122,326 | 19,930,575 | ||||||
First Industrial Realty Trust, Inc. REIT |
217,547 | 11,573,500 | ||||||
Gaming & Leisure Properties, Inc. REIT |
194,522 | 10,126,815 | ||||||
Healthcare Realty Trust, Inc. REIT |
220,799 | 4,268,045 | ||||||
InvenTrust Properties Corp. REIT |
90,985 | 2,129,049 | ||||||
Invitation Homes, Inc. REIT |
487,007 | 15,209,229 | ||||||
Kilroy Realty Corp. REIT |
137,393 | 4,451,533 | ||||||
Medical Properties Trust, Inc. REIT |
137,787 | 1,132,609 | ||||||
National Health Investors, Inc. REIT |
43,499 | 2,243,678 | ||||||
NETSTREIT Corp. REIT |
144,742 | 2,645,884 | ||||||
Prologis, Inc. REIT |
256,793 | 32,040,063 | ||||||
Public Storage REIT |
30,993 | 9,364,225 | ||||||
Regency Centers Corp. REIT |
219,597 | 13,434,944 | ||||||
Rexford Industrial Realty, Inc. REIT |
265,453 | 15,834,271 | ||||||
Sabra Health Care REIT, Inc. |
401,623 | 4,618,665 | ||||||
Simon Property Group, Inc. REIT |
50,798 | 5,687,852 | ||||||
Sun Communities, Inc. REIT |
121,459 | 17,111,144 | ||||||
Terreno Realty Corp. REIT |
121,600 | 7,855,360 | ||||||
Ventas, Inc. REIT |
436,710 | 18,931,378 | ||||||
VICI Properties, Inc. REIT |
641,967 | 20,940,964 | ||||||
Welltower, Inc. REIT |
259,927 | 18,634,167 | ||||||
|
|
|||||||
409,856,814 | ||||||||
|
|
|||||||
Total Common Stocks |
414,544,952 | |||||||
|
|
Principal Amount |
Value | |||||||
SHORT-TERM INVESTMENT - 1.1% |
|
|||||||
Repurchase Agreement - 1.1% |
| |||||||
Fixed Income Clearing Corp. |
$4,671,496 | $4,671,496 | ||||||
|
|
|||||||
Total Short-Term Investment |
4,671,496 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.6% |
419,216,448 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.4% |
|
1,535,280 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$420,751,728 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
167
PACIFIC SELECT FUND
REAL ESTATE PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$414,544,952 | $414,544,952 | $- | $- | |||||||||||||
Short-Term Investment |
4,671,496 | - | 4,671,496 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$419,216,448 | $414,544,952 | $4,671,496 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
168
PACIFIC SELECT FUND
TECHNOLOGY PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 95.8% |
| |||||||
Communications - 27.4% |
| |||||||
Alphabet, Inc. Class A * |
208,765 | $21,655,194 | ||||||
Amazon.com, Inc. * |
200,651 | 20,725,242 | ||||||
Arista Networks, Inc. * |
10,254 | 1,721,236 | ||||||
Booking Holdings, Inc. * |
2,764 | 7,331,261 | ||||||
Charter Communications, Inc. Class A * |
3,390 | 1,212,298 | ||||||
FactSet Research Systems, Inc. |
1,251 | 519,278 | ||||||
Meta Platforms, Inc. Class A * |
18,698 | 3,962,854 | ||||||
Palo Alto Networks, Inc. * |
13,083 | 2,613,198 | ||||||
Pinterest, Inc. Class A * |
17,251 | 470,435 | ||||||
Q2 Holdings, Inc. * |
16,937 | 416,989 | ||||||
Shopify, Inc. Class A * (Canada) |
44,512 | 2,133,905 | ||||||
Tencent Holdings Ltd. (China) |
31,100 | 1,519,835 | ||||||
|
|
|||||||
64,281,725 | ||||||||
|
|
|||||||
Consumer, Cyclical - 0.8% |
| |||||||
Mobileye Global, Inc. Class A * (Israel) |
41,198 | 1,782,637 | ||||||
|
|
|||||||
Consumer, Non-Cyclical - 9.8% |
| |||||||
Dun & Bradstreet Holdings, Inc. |
99,693 | 1,170,396 | ||||||
Equifax, Inc. |
5,618 | 1,139,555 | ||||||
FleetCor Technologies, Inc. * |
14,223 | 2,998,919 | ||||||
Gartner, Inc. * |
6,606 | 2,152,037 | ||||||
Global Payments, Inc. |
22,122 | 2,328,119 | ||||||
Morningstar, Inc. |
3,817 | 774,965 | ||||||
Nuvei Corp. * ~ (Canada) |
13,182 | 573,747 | ||||||
PayPal Holdings, Inc. * |
40,680 | 3,089,239 | ||||||
S&P Global, Inc. |
4,240 | 1,461,825 | ||||||
TransUnion |
9,383 | 583,060 | ||||||
Verisk Analytics, Inc. |
10,881 | 2,087,629 | ||||||
WEX, Inc. * |
24,914 | 4,581,435 | ||||||
|
|
|||||||
22,940,926 | ||||||||
|
|
|||||||
Energy - 0.3% |
| |||||||
Enphase Energy, Inc. * |
3,790 | 796,961 | ||||||
|
|
|||||||
Financial - 11.4% |
| |||||||
Aon PLC Class A |
8,669 | 2,733,249 | ||||||
Arthur J Gallagher & Co. |
22,126 | 4,232,925 | ||||||
Charles Schwab Corp. |
2,015 | 105,546 | ||||||
Mastercard, Inc. Class A |
36,367 | 13,216,131 | ||||||
Tradeweb Markets, Inc. Class A |
13,805 | 1,090,871 | ||||||
Visa, Inc. Class A |
23,625 | 5,326,493 | ||||||
|
|
|||||||
26,705,215 | ||||||||
|
|
|||||||
Industrial - 2.6% |
| |||||||
Amphenol Corp. Class A |
32,540 | 2,659,169 | ||||||
Hitachi Ltd. (Japan) |
60,400 | 3,319,625 | ||||||
|
|
|||||||
5,978,794 | ||||||||
|
|
|||||||
Technology - 43.5% |
| |||||||
Accenture PLC Class A |
19,760 | 5,647,606 | ||||||
Activision Blizzard, Inc. |
20,955 | 1,793,538 | ||||||
Adobe, Inc. * |
16,579 | 6,389,049 | ||||||
Advanced Micro Devices, Inc. * |
17,339 | 1,699,395 | ||||||
Apple, Inc. |
6,137 | 1,011,991 | ||||||
Atlassian Corp. Class A * |
5,936 | 1,016,065 | ||||||
Black Knight, Inc. * |
39,327 | 2,263,662 | ||||||
Constellation Software, Inc. (Canada) |
1,583 | 2,976,145 | ||||||
Descartes Systems Group, Inc. * (Canada) |
27,266 | 2,200,648 | ||||||
Endava PLC ADR * (United Kingdom) |
20,267 | 1,361,537 | ||||||
Fidelity National Information Services, Inc. |
25,963 | 1,410,570 | ||||||
Freshworks, Inc. Class A * |
14,326 | 220,047 |
Shares |
Value |
|||||||
HubSpot, Inc. * |
3,682 | $ 1,578,658 | ||||||
Intuit, Inc. |
13,696 | 6,106,088 | ||||||
KLA Corp. |
7,191 | 2,870,432 | ||||||
Lam Research Corp. |
1,638 | 868,337 | ||||||
Marvell Technology, Inc. |
70,201 | 3,039,703 | ||||||
Microsoft Corp. |
110,824 | 31,950,559 | ||||||
MSCI, Inc. |
3,244 | 1,815,634 | ||||||
NVIDIA Corp. |
35,155 | 9,765,004 | ||||||
Paycor HCM, Inc. * |
26,939 | 714,422 | ||||||
Rakus Co. Ltd. (Japan) |
27,500 | 399,395 | ||||||
RingCentral, Inc. Class A * |
19,745 | 605,579 | ||||||
Salesforce, Inc. * |
29,052 | 5,804,009 | ||||||
ServiceNow, Inc. * |
8,755 | 4,068,624 | ||||||
Take-Two Interactive Software, Inc. * |
18,036 | 2,151,695 | ||||||
TaskUS, Inc. Class A * (Philippines) |
23,051 | 332,856 | ||||||
Thoughtworks Holding, Inc. * |
102,066 | 751,206 | ||||||
Topicus.com, Inc. * (Netherlands) |
16,930 | 1,209,841 | ||||||
|
|
|||||||
102,022,295 | ||||||||
|
|
|||||||
Total Common Stocks |
224,508,553 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 5.0% |
| |||||||
Repurchase Agreement - 5.0% |
| |||||||
Fixed Income Clearing Corp. |
$11,711,588 | 11,711,588 | ||||||
|
|
|||||||
Total Short-Term Investment |
11,711,588 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.8% |
236,220,141 | |||||||
|
|
|||||||
DERIVATIVES - 0.1% |
151,351 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.9%) |
|
(2,087,303 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$234,284,189 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
169
PACIFIC SELECT FUND
TECHNOLOGY PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Purchased options outstanding as of March 31, 2023 were as follows: |
Options on Securities
Description | Exercise Price |
Expiration Date |
Exchange | Number of Contracts |
Notional Amount |
Cost | Value | |||||||||||||||||||||
Put - Invesco QQQ Trust |
$295.00 | 06/16/23 | OCC | 307 | $9,056,500 | $802,971 | $151,351 | |||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||
Total Purchased Options |
|
$802,971 | $151,351 | |||||||||||||||||||||||||
|
|
|
|
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks | |||||||||||||||||
Communication |
$64,281,725 | $62,761,890 | $1,519,835 | $- | ||||||||||||||
Consumer, Cyclical |
1,782,637 | 1,782,637 | - | - | ||||||||||||||
Consumer, Non-Cyclical |
22,940,926 | 22,940,926 | - | - | ||||||||||||||
Energy |
796,961 | 796,961 | - | - | ||||||||||||||
Financial |
26,705,215 | 26,705,215 | - | - | ||||||||||||||
Industrial |
5,978,794 | 2,659,169 | 3,319,625 | - | ||||||||||||||
Technology |
102,022,295 | 101,622,900 | 399,395 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
224,508,553 | 219,269,698 | 5,238,855 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investment | 11,711,588 | - | 11,711,588 | - | ||||||||||||||
Derivatives: | ||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Purchased options |
151,351 | - | 151,351 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$236,371,492 | $219,269,698 | $17,101,794 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
170
PACIFIC SELECT FUND
ESG DIVERSIFIED PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
MUTUAL FUNDS - 100.2% |
||||||||
Affiliated Mutual Fund - 14.2% |
||||||||
Pacific Funds ESG Core Bond Class I |
361,726 | $3,107,228 | ||||||
|
|
|||||||
Unaffiliated Mutual Funds - 86.0% |
||||||||
BlackRock Advantage ESG Emerging Markets Equity Fund Class K |
67,343 | 556,250 | ||||||
Calvert Green Bond Fund Class R6 |
222,790 | 3,099,004 | ||||||
Calvert Small Cap Fund Class R6 |
24,314 | 776,588 | ||||||
Calvert US Mid Cap Core Responsible Index Fund Class R6 |
32,672 | 1,116,395 | ||||||
Fidelity International Sustainability Index Fund Institutional |
178,119 | 2,009,181 | ||||||
Fidelity US Sustainability Index Fund Institutional |
454,943 | 8,193,531 | ||||||
JPMorgan High Yield Fund Class R6 |
174,975 | 1,086,593 | ||||||
PIMCO Low Duration ESG Fund Institutional |
215,356 | 1,920,978 | ||||||
|
|
|||||||
18,758,520 | ||||||||
|
|
|||||||
Total Mutual Funds |
21,865,748 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.2% |
21,865,748 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.2%) |
|
(49,950 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$21,815,798 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Mutual Funds |
$21,865,748 | $21,865,748 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
171
PACIFIC SELECT FUND
ESG DIVERSIFIED GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
MUTUAL FUNDS - 100.3% |
||||||||
Affiliated Mutual Fund - 7.3% |
||||||||
Pacific Funds ESG Core Bond Class I |
107,180 | $920,673 | ||||||
|
|
|||||||
Unaffiliated Mutual Funds - 93.0% |
||||||||
BlackRock Advantage ESG Emerging Markets Equity Fund Class K |
62,147 | 513,332 | ||||||
Calvert Green Bond Fund Class R6 |
65,888 | 916,495 | ||||||
Calvert Small Cap Fund Class R6 |
19,866 | 634,518 | ||||||
Calvert US Mid Cap Core Responsible Index Fund Class R6 |
28,014 | 957,239 | ||||||
Fidelity International Sustainability Index Fund Institutional |
153,458 | 1,731,001 | ||||||
Fidelity US Sustainability Index Fund Institutional |
303,689 | 5,469,434 | ||||||
JPMorgan High Yield Fund Class R6 |
70,150 | 435,631 | ||||||
PIMCO Low Duration ESG Fund Institutional |
116,240 | 1,036,858 | ||||||
|
|
|||||||
11,694,508 | ||||||||
|
|
|||||||
Total Mutual Funds |
12,615,181 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.3% |
12,615,181 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.3%) |
|
(36,767 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$12,578,414 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Mutual Funds |
$12,615,181 | $12,615,181 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
172
PACIFIC SELECT FUND
PSF AVANTIS BALANCED ALLOCATION PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
EXCHANGE-TRADED FUNDS - 85.3% |
||||||||
American Century Diversified Corporate Bond * |
425,188 | $19,718,094 | ||||||
Avantis Core Fixed Income * |
1,323,407 | 55,754,475 | ||||||
Avantis Emerging Markets Equity * |
158,762 | 8,396,922 | ||||||
Avantis International Equity * |
535,004 | 30,511,278 | ||||||
Avantis Real Estate * |
157,571 | 6,532,894 | ||||||
Avantis Short-Term Fixed Income * |
422,561 | 19,579,913 | ||||||
Avantis US Equity * |
1,980,314 | 140,364,657 | ||||||
Avantis US Small Cap Value * |
22,105 | 1,637,096 | ||||||
|
|
|||||||
282,495,329 | ||||||||
|
|
|||||||
Total Exchange-Traded Funds |
282,495,329 | |||||||
|
|
|||||||
MUTUAL FUNDS - 14.7% |
||||||||
American Century Diversified Bond Fund Class I * |
3,805,311 | 35,884,086 | ||||||
American Century Small Cap Growth Fund Class I * |
92,453 | 1,669,702 | ||||||
American Century Short Duration Bond Fund Class I * |
1,158,337 | 11,351,703 | ||||||
|
|
|||||||
Total Mutual Funds |
48,905,491 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
331,400,820 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(143,254 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$331,257,566 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Exchange-Traded Funds |
$282,495,329 | $282,495,329 | $- | $- | |||||||||||||
Mutual Funds |
48,905,491 | 48,905,491 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$331,400,820 | $331,400,820 | $- | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
173
PACIFIC SELECT FUND
PACIFIC DYNAMIX - CONSERVATIVE GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
AFFILIATED MUTUAL FUNDS - 100.0% |
| |||||||
PD 1-3 Year Corporate Bond Portfolio Class P * |
4,617,481 | $51,243,611 | ||||||
PD Aggregate Bond Index Portfolio Class P * |
18,458,474 | 230,233,653 | ||||||
PD High Yield Bond Market Portfolio Class P * |
1,780,614 | 31,264,691 | ||||||
PD Large-Cap Growth Index Portfolio Class P * |
840,392 | 55,884,681 | ||||||
PD Large-Cap Value Index Portfolio Class P * |
1,645,789 | 66,483,431 | ||||||
PD Mid-Cap Index Portfolio Class P * |
2,490,086 | 29,413,029 | ||||||
PD Small-Cap Growth Index Portfolio Class P * |
144,322 | 5,315,209 | ||||||
PD Small-Cap Value Index Portfolio Class P * |
171,123 | 5,276,884 | ||||||
PD Emerging Markets Index Portfolio Class P * |
622,456 | 10,526,656 | ||||||
PD International Large-Cap Index Portfolio Class P * |
1,472,252 | 34,532,412 | ||||||
|
|
|||||||
Total Affiliated Mutual Funds |
520,174,257 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
520,174,257 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(218,713 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$519,955,544 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Affiliated Mutual Funds |
$520,174,257 | $520,174,257 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
174
PACIFIC SELECT FUND
PACIFIC DYNAMIX - MODERATE GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
AFFILIATED MUTUAL FUNDS - 100.0% |
| |||||||
PD 1-3 Year Corporate Bond Portfolio Class P * |
20,491,544 | $227,409,871 | ||||||
PD Aggregate Bond Index Portfolio Class P * |
55,595,355 | 693,444,197 | ||||||
PD High Yield Bond Market Portfolio Class P * |
6,246,386 | 109,676,416 | ||||||
PD Large-Cap Growth Index Portfolio Class P * |
6,569,651 | 436,870,903 | ||||||
PD Large-Cap Value Index Portfolio Class P * |
11,775,541 | 475,685,808 | ||||||
PD Mid-Cap Index Portfolio Class P * |
12,782,419 | 150,986,640 | ||||||
PD Small-Cap Growth Index Portfolio Class P * |
1,018,779 | 37,520,559 | ||||||
PD Small-Cap Value Index Portfolio Class P * |
1,205,210 | 37,164,921 | ||||||
PD Emerging Markets Index Portfolio Class P * |
3,655,267 | 61,816,004 | ||||||
PD International Large-Cap Index Portfolio Class P * |
9,613,969 | 225,500,426 | ||||||
|
|
|||||||
Total Affiliated Mutual Funds |
2,456,075,745 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
2,456,075,745 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(910,215 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$2,455,165,530 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Affiliated Mutual Funds |
$2,456,075,745 | $2,456,075,745 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
175
PACIFIC SELECT FUND
PACIFIC DYNAMIX - GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
AFFILIATED MUTUAL FUNDS - 100.0% |
| |||||||
PD 1-3 Year Corporate Bond Portfolio Class P * |
15,009,440 | $166,570,895 | ||||||
PD Aggregate Bond Index Portfolio Class P * |
20,352,875 | 253,862,632 | ||||||
PD High Yield Bond Market Portfolio Class P * |
3,049,457 | 53,543,525 | ||||||
PD Large-Cap Growth Index Portfolio Class P * |
5,100,963 | 339,205,599 | ||||||
PD Large-Cap Value Index Portfolio Class P * |
10,890,242 | 439,923,205 | ||||||
PD Mid-Cap Index Portfolio Class P * |
12,484,673 | 147,469,644 | ||||||
PD Small-Cap Growth Index Portfolio Class P * |
1,243,781 | 45,807,136 | ||||||
PD Small-Cap Value Index Portfolio Class P * |
1,474,082 | 45,456,090 | ||||||
PD Emerging Markets Index Portfolio Class P * |
4,307,469 | 72,845,717 | ||||||
PD International Large-Cap Index Portfolio Class P * |
10,629,534 | 249,321,023 | ||||||
|
|
|||||||
Total Affiliated Mutual Funds |
1,814,005,466 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
1,814,005,466 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(638,092 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$1,813,367,374 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Affiliated Mutual Funds |
$1,814,005,466 | $1,814,005,466 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
176
PACIFIC SELECT FUND
PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
AFFILIATED MUTUAL FUNDS - 100.0% |
| |||||||
Core Income Portfolio Class P * |
8,450,199 | $98,897,855 | ||||||
Diversified Bond Portfolio Class P * |
12,249,352 | 166,859,573 | ||||||
Floating Rate Income Portfolio Class P * |
1,208,982 | 17,383,476 | ||||||
High Yield Bond Portfolio Class P * |
5,189,013 | 52,491,030 | ||||||
Inflation Managed Portfolio Class P * |
2,953,009 | 40,571,365 | ||||||
Intermediate Bond Portfolio Class P * |
16,234,513 | 146,046,119 | ||||||
Managed Bond Portfolio Class P * |
13,355,792 | 194,064,914 | ||||||
Short Duration Bond Portfolio Class P * |
12,681,288 | 137,810,916 | ||||||
Emerging Markets Debt Portfolio Class P * |
2,489,984 | 29,045,802 | ||||||
Dividend Growth Portfolio Class P * |
428,799 | 15,963,597 | ||||||
Equity Index Portfolio Class P * |
98,234 | 10,693,718 | ||||||
Focused Growth Portfolio Class P * |
393,703 | 19,075,829 | ||||||
Growth Portfolio Class P * |
353,444 | 18,995,813 | ||||||
Large-Cap Core Portfolio Class P * |
261,321 | 17,196,463 | ||||||
Large-Cap Growth Portfolio Class P * |
812,419 | 17,260,427 | ||||||
Large-Cap Value Portfolio Class P * |
614,809 | 21,905,234 | ||||||
Mid-Cap Equity Portfolio Class P * |
333,109 | 11,923,909 | ||||||
Mid-Cap Growth Portfolio Class P * |
656,424 | 17,879,788 | ||||||
Mid-Cap Value Portfolio Class P * |
619,605 | 23,812,028 | ||||||
Small-Cap Equity Portfolio Class P * |
84,915 | 2,957,322 | ||||||
Small-Cap Value Portfolio Class P * |
94,308 | 2,951,950 | ||||||
Value Portfolio Class P * |
1,098,853 | 24,245,864 | ||||||
Value Advantage Portfolio Class P * |
882,854 | 20,734,660 | ||||||
Emerging Markets Portfolio Class P * |
932,714 | 17,592,757 | ||||||
International Growth Portfolio Class P * |
2,277,341 | 19,623,048 | ||||||
International Large-Cap Portfolio Class P * |
594,873 | 8,298,738 | ||||||
International Value Portfolio Class P * |
453,495 | 7,701,107 | ||||||
|
|
|||||||
Total Affiliated Mutual Funds |
1,161,983,302 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
1,161,983,302 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(412,811 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
|
$1,161,570,491 | ||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Affiliated Mutual Funds |
$1,161,983,302 | $1,161,983,302 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
177
PACIFIC SELECT FUND
PORTFOLIO OPTIMIZATION MODERATE-CONSERVATIVE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
AFFILIATED MUTUAL FUNDS - 100.0% |
| |||||||
Core Income Portfolio Class P * |
10,005,272 | $117,097,822 | ||||||
Diversified Bond Portfolio Class P * |
14,580,834 | 198,618,804 | ||||||
Floating Rate Income Portfolio Class P * |
1,142,775 | 16,431,520 | ||||||
High Yield Bond Portfolio Class P * |
4,909,602 | 49,664,562 | ||||||
Inflation Managed Portfolio Class P * |
2,994,695 | 41,144,097 | ||||||
Intermediate Bond Portfolio Class P * |
19,271,209 | 173,364,319 | ||||||
Managed Bond Portfolio Class P * |
15,832,595 | 230,053,838 | ||||||
Short Duration Bond Portfolio Class P * |
16,451,291 | 178,780,537 | ||||||
Emerging Markets Debt Portfolio Class P * |
1,414,115 | 16,495,739 | ||||||
Dividend Growth Portfolio Class P * |
1,241,628 | 46,224,067 | ||||||
Equity Index Portfolio Class P * |
302,880 | 32,971,382 | ||||||
Focused Growth Portfolio Class P * |
770,082 | 37,312,279 | ||||||
Growth Portfolio Class P * |
754,165 | 40,532,525 | ||||||
Large-Cap Core Portfolio Class P * |
743,496 | 48,926,359 | ||||||
Large-Cap Growth Portfolio Class P * |
1,674,506 | 35,576,083 | ||||||
Large-Cap Value Portfolio Class P * |
1,323,317 | 47,148,927 | ||||||
Mid-Cap Equity Portfolio Class P * |
473,944 | 16,965,239 | ||||||
Mid-Cap Growth Portfolio Class P * |
934,281 | 25,448,127 | ||||||
Mid-Cap Value Portfolio Class P * |
881,297 | 33,869,099 | ||||||
Small-Cap Equity Portfolio Class P * |
192,991 | 6,721,288 | ||||||
Small-Cap Growth Portfolio Class P * |
200,025 | 5,958,430 | ||||||
Small-Cap Index Portfolio Class P * |
201,486 | 5,892,458 | ||||||
Small-Cap Value Portfolio Class P * |
214,214 | 6,705,112 | ||||||
Value Portfolio Class P * |
2,480,183 | 54,724,516 | ||||||
Value Advantage Portfolio Class P * |
1,901,172 | 44,650,839 | ||||||
Emerging Markets Portfolio Class P * |
1,773,929 | 33,459,651 | ||||||
International Growth Portfolio Class P * |
3,552,141 | 30,607,547 | ||||||
International Large-Cap Portfolio Class P * |
1,701,098 | 23,731,061 | ||||||
International Value Portfolio Class P * |
2,293,767 | 38,951,993 | ||||||
Real Estate Portfolio Class P * |
523,358 | 16,852,359 | ||||||
|
|
|||||||
Total Affiliated Mutual Funds |
1,654,880,579 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
|
1,654,880,579 | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(583,206 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$1,654,297,373 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Affiliated Mutual Funds |
$1,654,880,579 | $1,654,880,579 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
178
PACIFIC SELECT FUND
PORTFOLIO OPTIMIZATION MODERATE PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
AFFILIATED MUTUAL FUNDS - 100.0% |
| |||||||
Core Income Portfolio Class P * |
27,951,813 | $327,137,175 | ||||||
Diversified Bond Portfolio Class P * |
40,379,116 | 550,040,685 | ||||||
Floating Rate Income Portfolio Class P * |
2,455,350 | 35,304,519 | ||||||
High Yield Bond Portfolio Class P * |
17,582,830 | 177,864,442 | ||||||
Inflation Managed Portfolio Class P * |
10,301,994 | 141,539,010 | ||||||
Intermediate Bond Portfolio Class P * |
53,629,290 | 482,450,540 | ||||||
Managed Bond Portfolio Class P * |
44,162,143 | 641,693,342 | ||||||
Short Duration Bond Portfolio Class P * |
64,235,337 | 698,062,424 | ||||||
Emerging Markets Debt Portfolio Class P * |
6,081,215 | 70,937,725 | ||||||
Dividend Growth Portfolio Class P * |
9,430,656 | 351,089,940 | ||||||
Equity Index Portfolio Class P * |
2,408,352 | 262,172,190 | ||||||
Focused Growth Portfolio Class P * |
5,878,325 | 284,818,739 | ||||||
Growth Portfolio Class P * |
5,007,688 | 269,137,828 | ||||||
Large-Cap Core Portfolio Class P * |
5,576,380 | 366,958,435 | ||||||
Large-Cap Growth Portfolio Class P * |
10,816,201 | 229,797,941 | ||||||
Large-Cap Value Portfolio Class P * |
8,244,669 | 293,752,228 | ||||||
Mid-Cap Equity Portfolio Class P * |
2,041,980 | 73,094,371 | ||||||
Mid-Cap Growth Portfolio Class P * |
4,023,088 | 109,581,594 | ||||||
Mid-Cap Value Portfolio Class P * |
3,798,068 | 145,963,507 | ||||||
Small-Cap Equity Portfolio Class P * |
1,247,361 | 43,441,860 | ||||||
Small-Cap Growth Portfolio Class P * |
1,845,466 | 54,973,652 | ||||||
Small-Cap Index Portfolio Class P * |
1,240,100 | 36,266,704 | ||||||
Small-Cap Value Portfolio Class P * |
1,500,432 | 46,965,007 | ||||||
Value Portfolio Class P * |
14,298,867 | 315,500,340 | ||||||
Value Advantage Portfolio Class P * |
11,900,689 | 279,499,053 | ||||||
Emerging Markets Portfolio Class P * |
9,543,920 | 180,016,368 | ||||||
International Growth Portfolio Class P * |
29,301,455 | 252,480,327 | ||||||
International Large-Cap Portfolio Class P * |
10,985,018 | 153,245,768 | ||||||
International Small-Cap Portfolio Class P * |
2,200,694 | 36,264,764 | ||||||
International Value Portfolio Class P * |
10,520,906 | 178,662,537 | ||||||
Real Estate Portfolio Class P * |
2,252,232 | 72,522,904 | ||||||
|
|
|||||||
Total Affiliated Mutual Funds |
7,161,235,919 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
|
7,161,235,919 | ||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(2,390,173 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$7,158,845,746 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Affiliated Mutual Funds |
$7,161,235,919 | $7,161,235,919 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
179
PACIFIC SELECT FUND
PORTFOLIO OPTIMIZATION GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
AFFILIATED MUTUAL FUNDS - 100.0% |
| |||||||
Core Income Portfolio Class P * |
17,825,631 | $208,624,265 | ||||||
Diversified Bond Portfolio Class P * |
35,667,242 | 485,855,957 | ||||||
High Yield Bond Portfolio Class P * |
19,696,936 | 199,250,327 | ||||||
Inflation Managed Portfolio Class P * |
9,616,108 | 132,115,625 | ||||||
Intermediate Bond Portfolio Class P * |
41,124,056 | 369,953,119 | ||||||
Managed Bond Portfolio Class P * |
33,642,907 | 488,844,687 | ||||||
Short Duration Bond Portfolio Class P * |
15,061,427 | 163,676,514 | ||||||
Emerging Markets Debt Portfolio Class P * |
5,686,341 | 66,331,493 | ||||||
Dividend Growth Portfolio Class P * |
9,226,349 | 343,483,879 | ||||||
Equity Index Portfolio Class P * |
2,179,197 | 237,226,485 | ||||||
Focused Growth Portfolio Class P * |
7,436,421 | 360,312,192 | ||||||
Growth Portfolio Class P * |
5,200,974 | 279,525,991 | ||||||
Large-Cap Core Portfolio Class P * |
3,595,439 | 236,600,907 | ||||||
Large-Cap Growth Portfolio Class P * |
12,980,150 | 275,772,587 | ||||||
Large-Cap Value Portfolio Class P * |
8,585,739 | 305,904,350 | ||||||
Mid-Cap Equity Portfolio Class P * |
2,993,605 | 107,158,614 | ||||||
Mid-Cap Growth Portfolio Class P * |
7,795,941 | 212,347,280 | ||||||
Mid-Cap Value Portfolio Class P * |
6,053,446 | 232,639,912 | ||||||
Small-Cap Equity Portfolio Class P * |
2,339,241 | 81,468,805 | ||||||
Small-Cap Growth Portfolio Class P * |
1,316,362 | 39,212,451 | ||||||
Small-Cap Index Portfolio Class P * |
1,840,254 | 53,818,204 | ||||||
Small-Cap Value Portfolio Class P * |
2,451,420 | 76,731,906 | ||||||
Value Portfolio Class P * |
13,094,665 | 288,929,971 | ||||||
Value Advantage Portfolio Class P * |
11,817,157 | 277,537,219 | ||||||
Emerging Markets Portfolio Class P * |
8,911,072 | 168,079,666 | ||||||
International Growth Portfolio Class P * |
30,286,288 | 260,966,280 | ||||||
International Large-Cap Portfolio Class P * |
16,590,094 | 231,439,013 | ||||||
International Small-Cap Portfolio Class P * |
6,119,954 | 100,849,381 | ||||||
International Value Portfolio Class P * |
14,755,836 | 250,578,709 | ||||||
Real Estate Portfolio Class P * |
2,905,139 | 93,546,798 | ||||||
|
|
|||||||
Total Affiliated Mutual Funds |
6,628,782,587 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
6,628,782,587 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(2,182,418 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$6,626,600,169 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Affiliated Mutual Funds | $6,628,782,587 | $6,628,782,587 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
180
PACIFIC SELECT FUND
PORTFOLIO OPTIMIZATION AGGRESSIVE-GROWTH PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
AFFILIATED MUTUAL FUNDS - 100.0% |
| |||||||
Core Income Portfolio Class P * |
3,099,383 | $36,273,972 | ||||||
Diversified Bond Portfolio Class P * |
4,032,537 | 54,930,850 | ||||||
High Yield Bond Portfolio Class P * |
4,697,346 | 47,517,424 | ||||||
Inflation Managed Portfolio Class P * |
1,138,374 | 15,640,114 | ||||||
Intermediate Bond Portfolio Class P * |
4,699,505 | 42,276,876 | ||||||
Managed Bond Portfolio Class P * |
3,772,525 | 54,816,275 | ||||||
Short Duration Bond Portfolio Class P * |
1,429,797 | 15,537,987 | ||||||
Emerging Markets Debt Portfolio Class P * |
1,360,428 | 15,869,474 | ||||||
Dividend Growth Portfolio Class P * |
2,456,710 | 91,459,821 | ||||||
Equity Index Portfolio Class P * |
580,233 | 63,163,911 | ||||||
Focused Growth Portfolio Class P * |
1,996,489 | 96,734,593 | ||||||
Growth Portfolio Class P * |
1,400,158 | 75,251,399 | ||||||
Large-Cap Core Portfolio Class P * |
957,099 | 62,982,738 | ||||||
Large-Cap Growth Portfolio Class P * |
3,455,903 | 73,423,145 | ||||||
Large-Cap Value Portfolio Class P * |
2,255,222 | 80,352,105 | ||||||
Mid-Cap Equity Portfolio Class P * |
761,080 | 27,243,515 | ||||||
Mid-Cap Growth Portfolio Class P * |
2,138,412 | 58,246,448 | ||||||
Mid-Cap Value Portfolio Class P * |
1,462,538 | 56,206,793 | ||||||
Small-Cap Equity Portfolio Class P * |
739,556 | 25,756,532 | ||||||
Small-Cap Growth Portfolio Class P * |
1,031,864 | 30,737,676 | ||||||
Small-Cap Index Portfolio Class P * |
573,937 | 16,784,777 | ||||||
Small-Cap Value Portfolio Class P * |
829,871 | 25,975,780 | ||||||
Value Portfolio Class P * |
3,447,685 | 76,072,173 | ||||||
Value Advantage Portfolio Class P * |
3,095,411 | 72,698,693 | ||||||
Emerging Markets Portfolio Class P * |
3,845,774 | 72,538,560 | ||||||
International Growth Portfolio Class P * |
8,495,454 | 73,202,339 | ||||||
International Large-Cap Portfolio Class P * |
4,859,887 | 67,797,527 | ||||||
International Small-Cap Portfolio Class P * |
2,939,500 | 48,439,377 | ||||||
International Value Portfolio Class P * |
4,616,509 | 78,396,019 | ||||||
Real Estate Portfolio Class P * |
914,758 | 29,455,623 | ||||||
|
|
|||||||
Total Affiliated Mutual Funds |
1,585,782,516 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
1,585,782,516 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(537,383 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$1,585,245,133 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Affiliated Mutual Funds | $1,585,782,516 | $1,585,782,516 | $- | $- | |||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
181
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
CORPORATE BONDS & NOTES - 98.6% |
| |||||||
Basic Materials - 1.5% |
| |||||||
Air Products & Chemicals, Inc. |
$350,000 | $325,830 | ||||||
BHP Billiton Finance USA Ltd. (Australia) |
500,000 | 503,860 | ||||||
Celanese US Holdings LLC |
||||||||
5.900% due 07/05/24 |
150,000 | 150,124 | ||||||
6.050% due 03/15/25 |
950,000 | 956,115 | ||||||
DuPont de Nemours, Inc. |
750,000 | 749,404 | ||||||
Eastman Chemical Co. |
250,000 | 243,880 | ||||||
EIDP, Inc. |
250,000 | 234,960 | ||||||
Fibria Overseas Finance Ltd. (Brazil) |
250,000 | 243,675 | ||||||
Freeport-McMoRan, Inc. |
350,000 | 348,388 | ||||||
Linde, Inc. |
250,000 | 251,484 | ||||||
LYB International Finance III LLC |
350,000 | 317,264 | ||||||
Nucor Corp. |
250,000 | 235,264 | ||||||
Nutrien Ltd. (Canada) |
570,000 | 586,544 | ||||||
PPG Industries, Inc. |
250,000 | 224,281 | ||||||
Sherwin-Williams Co. |
||||||||
3.125% due 06/01/24 |
150,000 | 146,705 | ||||||
4.250% due 08/08/25 |
840,000 | 831,078 | ||||||
Steel Dynamics, Inc. |
150,000 | 143,559 | ||||||
Westlake Corp. |
250,000 | 236,935 | ||||||
|
|
|||||||
6,729,350 | ||||||||
|
|
|||||||
Communications - 6.1% |
| |||||||
Alibaba Group Holding Ltd. (China) |
1,000,000 | 977,831 | ||||||
Alphabet, Inc. |
750,000 | 688,241 | ||||||
Amazon.com, Inc. |
||||||||
0.450% due 05/12/24 |
285,000 | 273,218 | ||||||
0.800% due 06/03/25 |
350,000 | 325,782 | ||||||
2.730% due 04/13/24 |
200,000 | 196,060 | ||||||
3.000% due 04/13/25 |
250,000 | 243,941 | ||||||
3.800% due 12/05/24 |
1,750,000 | 1,735,743 | ||||||
4.600% due 12/01/25 |
250,000 | 252,166 | ||||||
4.700% due 11/29/24 |
1,700,000 | 1,712,322 | ||||||
5.200% due 12/03/25 |
250,000 | 254,771 | ||||||
AT&T, Inc. |
1,450,000 | 1,454,800 | ||||||
Baidu, Inc. (China) |
750,000 | 734,707 | ||||||
Booking Holdings, Inc. |
150,000 | 146,908 | ||||||
Charter Communications Operating LLC/Charter Communications Operating Capital |
1,250,000 | 1,238,030 | ||||||
Cisco Systems, Inc. |
||||||||
2.950% due 02/28/26 |
500,000 | 483,891 | ||||||
3.500% due 06/15/25 |
250,000 | 245,385 | ||||||
Comcast Corp. |
||||||||
3.150% due 03/01/26 |
500,000 | 485,119 |
Principal |
Value |
|||||||
3.375% due 02/15/25 |
$250,000 | $244,983 | ||||||
3.375% due 08/15/25 |
2,250,000 | 2,198,873 | ||||||
5.250% due 11/07/25 |
355,000 | 362,915 | ||||||
Discovery Communications LLC |
||||||||
3.900% due 11/15/24 |
200,000 | 194,478 | ||||||
3.950% due 06/15/25 |
1,250,000 | 1,207,143 | ||||||
eBay, Inc. |
||||||||
1.900% due 03/11/25 |
750,000 | 709,517 | ||||||
5.900% due 11/22/25 |
175,000 | 179,831 | ||||||
Expedia Group, Inc. |
250,000 | 249,068 | ||||||
Fox Corp. |
500,000 | 481,092 | ||||||
Omnicom Group, Inc./Omnicom Capital, Inc. |
250,000 | 245,081 | ||||||
Paramount Global |
750,000 | 725,732 | ||||||
Rogers Communications, Inc. (Canada) |
||||||||
2.950% due 03/15/25 ~ |
610,000 | 587,745 | ||||||
3.625% due 12/15/25 |
250,000 | 240,844 | ||||||
T-Mobile USA, Inc. |
||||||||
2.250% due 02/15/26 |
1,000,000 | 930,961 | ||||||
3.500% due 04/15/25 |
1,250,000 | 1,215,729 | ||||||
TCI Communications, Inc. |
250,000 | 272,768 | ||||||
TWDC Enterprises 18 Corp. |
||||||||
3.000% due 02/13/26 |
250,000 | 241,764 | ||||||
3.150% due 09/17/25 |
1,250,000 | 1,209,279 | ||||||
VeriSign, Inc. |
200,000 | 199,911 | ||||||
Verizon Communications, Inc. |
||||||||
1.450% due 03/20/26 |
500,000 | 460,258 | ||||||
3.376% due 02/15/25 |
750,000 | 734,978 | ||||||
Vodafone Group PLC (United Kingdom) |
750,000 | 741,966 | ||||||
Walt Disney Co. |
||||||||
1.750% due 08/30/24 |
1,000,000 | 962,868 | ||||||
3.350% due 03/24/25 |
250,000 | 245,680 | ||||||
Weibo Corp. (China) |
250,000 | 243,387 | ||||||
WPP Finance 2010 (United Kingdom) |
500,000 | 488,312 | ||||||
|
|
|||||||
27,024,078 | ||||||||
|
|
|||||||
Consumer, Cyclical - 7.4% |
| |||||||
American Honda Finance Corp. |
||||||||
0.550% due 07/12/24 |
500,000 | 474,067 | ||||||
0.750% due 08/09/24 |
165,000 | 156,360 | ||||||
1.000% due 09/10/25 |
350,000 | 321,470 | ||||||
1.200% due 07/08/25 |
1,250,000 | 1,159,113 | ||||||
2.400% due 06/27/24 |
500,000 | 485,400 | ||||||
AutoNation, Inc. |
250,000 | 242,088 | ||||||
AutoZone, Inc. |
500,000 | 487,521 | ||||||
Brunswick Corp. |
250,000 | 233,614 | ||||||
Costco Wholesale Corp. |
500,000 | 490,875 | ||||||
Dollar General Corp. |
500,000 | 494,235 | ||||||
Dollar Tree, Inc. |
500,000 | 490,962 | ||||||
DR Horton, Inc. |
||||||||
2.500% due 10/15/24 |
250,000 | 239,270 | ||||||
2.600% due 10/15/25 |
250,000 | 234,046 | ||||||
General Motors Co. |
350,000 | 356,825 | ||||||
General Motors Financial Co., Inc. |
||||||||
1.200% due 10/15/24 |
1,115,000 | 1,044,240 | ||||||
2.750% due 06/20/25 |
2,500,000 | 2,368,311 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
182
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
2.900% due 02/26/25 |
$350,000 | $334,287 | ||||||
3.500% due 11/07/24 |
250,000 | 243,678 | ||||||
3.800% due 04/07/25 |
130,000 | 126,474 | ||||||
4.350% due 04/09/25 |
250,000 | 244,917 | ||||||
6.050% due 10/10/25 |
300,000 | 305,046 | ||||||
Genuine Parts Co. |
250,000 | 236,310 | ||||||
Harley-Davidson, Inc. |
250,000 | 239,015 | ||||||
Hasbro, Inc. |
250,000 | 241,205 | ||||||
Home Depot, Inc. |
||||||||
2.700% due 04/15/25 |
135,000 | 130,614 | ||||||
3.350% due 09/15/25 |
1,000,000 | 978,678 | ||||||
4.000% due 09/15/25 |
80,000 | 79,460 | ||||||
Honda Motor Co. Ltd. (Japan) |
165,000 | 157,787 | ||||||
Hyatt Hotels Corp. |
590,000 | 558,919 | ||||||
Lennar Corp. |
350,000 | 345,913 | ||||||
Lowes Cos., Inc. |
||||||||
4.000% due 04/15/25 |
250,000 | 246,735 | ||||||
4.400% due 09/08/25 |
1,055,000 | 1,050,423 | ||||||
4.800% due 04/01/26 |
140,000 | 140,866 | ||||||
Magna International, Inc. (Canada) |
||||||||
3.625% due 06/15/24 |
250,000 | 245,670 | ||||||
5.980% due 03/21/26 |
250,000 | 252,197 | ||||||
Marriott International, Inc. |
||||||||
3.750% due 03/15/25 |
150,000 | 145,999 | ||||||
3.750% due 10/01/25 |
250,000 | 241,136 | ||||||
5.750% due 05/01/25 |
500,000 | 503,742 | ||||||
McDonalds Corp. |
||||||||
1.450% due 09/01/25 |
250,000 | 232,929 | ||||||
3.700% due 01/30/26 |
1,250,000 | 1,229,367 | ||||||
NIKE, Inc. |
500,000 | 484,114 | ||||||
PACCAR Financial Corp. |
||||||||
0.500% due 08/09/24 |
140,000 | 132,170 | ||||||
2.850% due 04/07/25 |
100,000 | 96,621 | ||||||
3.550% due 08/11/25 |
850,000 | 830,949 | ||||||
4.450% due 03/30/26 |
200,000 | 200,381 | ||||||
4.950% due 10/03/25 |
100,000 | 100,961 | ||||||
PVH Corp. |
250,000 | 244,934 | ||||||
Ralph Lauren Corp. |
250,000 | 244,790 | ||||||
Southwest Airlines Co. |
500,000 | 499,909 | ||||||
Starbucks Corp. |
||||||||
3.800% due 08/15/25 |
250,000 | 246,146 | ||||||
4.750% due 02/15/26 |
845,000 | 850,323 | ||||||
Tapestry, Inc. |
200,000 | 197,304 | ||||||
Target Corp. |
850,000 | 817,025 | ||||||
Toyota Motor Credit Corp. |
||||||||
0.500% due 06/18/24 |
250,000 | 238,004 | ||||||
0.625% due 09/13/24 |
440,000 | 415,925 | ||||||
1.450% due 01/13/25 |
1,650,000 | 1,562,924 | ||||||
3.000% due 04/01/25 |
350,000 | 339,244 | ||||||
3.650% due 08/18/25 |
620,000 | 606,562 | ||||||
3.950% due 06/30/25 |
175,000 | 172,914 | ||||||
4.400% due 09/20/24 |
2,250,000 | 2,244,961 | ||||||
4.800% due 01/10/25 |
200,000 | 201,337 | ||||||
5.400% due 11/10/25 |
100,000 | 102,627 | ||||||
United Airlines Pass-Through Trust |
578,180 | 555,483 | ||||||
VF Corp. |
250,000 | 235,826 | ||||||
Walgreens Boots Alliance, Inc. |
500,000 | 490,119 |
Principal |
Value |
|||||||
Walmart, Inc. |
||||||||
2.850% due 07/08/24 |
$750,000 | $733,552 | ||||||
3.300% due 04/22/24 |
350,000 | 345,723 | ||||||
3.900% due 09/09/25 |
870,000 | 867,853 | ||||||
Warnermedia Holdings, Inc. |
||||||||
3.638% due 03/15/25 ~ |
250,000 | 241,653 | ||||||
6.412% due 03/15/26 |
165,000 | 165,883 | ||||||
Whirlpool Corp. |
350,000 | 342,439 | ||||||
WW Grainger, Inc. |
150,000 | 142,644 | ||||||
|
|
|||||||
32,741,064 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 14.1% |
| |||||||
Abbott Laboratories |
||||||||
2.950% due 03/15/25 |
500,000 | 488,743 | ||||||
3.875% due 09/15/25 |
350,000 | 345,804 | ||||||
AbbVie, Inc. |
||||||||
2.600% due 11/21/24 |
1,350,000 | 1,303,398 | ||||||
3.600% due 05/14/25 |
2,250,000 | 2,207,983 | ||||||
3.800% due 03/15/25 |
350,000 | 344,458 | ||||||
3.850% due 06/15/24 |
200,000 | 197,633 | ||||||
Aetna, Inc. |
250,000 | 244,129 | ||||||
Altria Group, Inc. |
||||||||
2.350% due 05/06/25 |
250,000 | 237,486 | ||||||
4.400% due 02/14/26 |
500,000 | 496,440 | ||||||
AmerisourceBergen Corp. |
150,000 | 145,307 | ||||||
Amgen, Inc. |
||||||||
1.900% due 02/21/25 |
250,000 | 236,918 | ||||||
3.125% due 05/01/25 |
750,000 | 727,718 | ||||||
5.250% due 03/02/25 |
70,000 | 70,805 | ||||||
5.507% due 03/02/26 |
625,000 | 627,694 | ||||||
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium) |
1,100,000 | 1,080,343 | ||||||
Astrazeneca Finance LLC (United Kingdom) |
200,000 | 191,118 | ||||||
AstraZeneca PLC (United Kingdom) |
1,000,000 | 978,247 | ||||||
Automatic Data Processing, Inc. |
250,000 | 245,230 | ||||||
Avery Dennison Corp. |
250,000 | 236,383 | ||||||
BAT Capital Corp. (United Kingdom) |
1,250,000 | 1,205,716 | ||||||
BAT International Finance PLC (United Kingdom) |
750,000 | 682,968 | ||||||
Baxalta, Inc. |
250,000 | 244,977 | ||||||
Baxter International, Inc. |
600,000 | 564,932 | ||||||
Becton Dickinson & Co. |
750,000 | 733,650 | ||||||
Biogen, Inc. |
850,000 | 831,107 | ||||||
Boston Scientific Corp. |
500,000 | 472,865 | ||||||
Bristol-Myers Squibb Co. |
1,250,000 | 1,225,808 | ||||||
Brown-Forman Corp. |
200,000 | 195,610 | ||||||
Bunge Ltd. Finance Corp. |
250,000 | 231,434 | ||||||
Campbell Soup Co. |
250,000 | 245,664 | ||||||
Cardinal Health, Inc. |
500,000 | 488,882 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
183
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Cigna Group |
| |||||||
1.250% due 03/15/26 |
$250,000 | $226,703 | ||||||
3.250% due 04/15/25 |
750,000 | 727,031 | ||||||
3.500% due 06/15/24 |
350,000 | 343,491 | ||||||
4.125% due 11/15/25 |
250,000 | 246,076 | ||||||
4.500% due 02/25/26 |
250,000 | 248,969 | ||||||
5.685% due 03/15/26 |
250,000 | 251,630 | ||||||
Cintas Corp. No. 2 |
250,000 | 244,092 | ||||||
Colgate-Palmolive Co. |
||||||||
3.100% due 08/15/25 |
50,000 | 48,757 | ||||||
4.800% due 03/02/26 |
145,000 | 148,253 | ||||||
CommonSpirit Health |
500,000 | 460,964 | ||||||
Conagra Brands, Inc. |
750,000 | 740,583 | ||||||
Constellation Brands, Inc. |
||||||||
3.600% due 05/09/24 |
50,000 | 49,368 | ||||||
4.400% due 11/15/25 |
500,000 | 493,524 | ||||||
4.750% due 11/15/24 |
150,000 | 149,914 | ||||||
5.000% due 02/02/26 |
85,000 | 85,036 | ||||||
CVS Health Corp. |
||||||||
2.625% due 08/15/24 |
1,500,000 | 1,454,690 | ||||||
3.875% due 07/20/25 |
250,000 | 245,624 | ||||||
4.100% due 03/25/25 |
250,000 | 247,984 | ||||||
5.000% due 02/20/26 |
705,000 | 713,280 | ||||||
DH Europe Finance II SARL |
600,000 | 576,256 | ||||||
Diageo Capital PLC (United Kingdom) |
750,000 | 693,428 | ||||||
Elevance Health, Inc. |
||||||||
1.500% due 03/15/26 |
500,000 | 456,516 | ||||||
2.375% due 01/15/25 |
250,000 | 239,441 | ||||||
4.900% due 02/08/26 |
1,070,000 | 1,069,077 | ||||||
5.350% due 10/15/25 |
145,000 | 146,360 | ||||||
Eli Lilly & Co. |
110,000 | 111,022 | ||||||
Equifax, Inc. |
||||||||
2.600% due 12/01/24 |
250,000 | 239,003 | ||||||
2.600% due 12/15/25 |
250,000 | 233,251 | ||||||
GE HealthCare Technologies, Inc. |
1,000,000 | 1,012,655 | ||||||
General Mills, Inc. |
||||||||
4.000% due 04/17/25 |
500,000 | 493,496 | ||||||
5.241% due 11/18/25 |
80,000 | 80,255 | ||||||
Gilead Sciences, Inc. |
||||||||
3.500% due 02/01/25 |
1,350,000 | 1,323,708 | ||||||
3.650% due 03/01/26 |
500,000 | 489,708 | ||||||
GlaxoSmithKline Capital, Inc. (United Kingdom) |
750,000 | 739,590 | ||||||
Global Payments, Inc. |
||||||||
1.200% due 03/01/26 |
350,000 | 311,566 | ||||||
1.500% due 11/15/24 |
460,000 | 433,533 | ||||||
Haleon UK Capital PLC |
350,000 | 338,474 | ||||||
HCA, Inc. |
||||||||
5.250% due 04/15/25 |
350,000 | 350,001 | ||||||
5.375% due 02/01/25 |
1,000,000 | 1,001,063 | ||||||
5.875% due 02/15/26 |
1,000,000 | 1,015,352 | ||||||
Hershey Co. |
500,000 | 485,491 | ||||||
Humana, Inc. |
||||||||
3.850% due 10/01/24 |
150,000 | 147,526 | ||||||
5.700% due 03/13/26 |
900,000 | 903,705 | ||||||
Illumina, Inc. |
350,000 | 353,497 | ||||||
J M Smucker Co. |
250,000 | 243,971 | ||||||
Johnson & Johnson |
||||||||
0.550% due 09/01/25 |
750,000 | 689,926 | ||||||
2.450% due 03/01/26 |
250,000 | 240,333 | ||||||
2.625% due 01/15/25 |
100,000 | 97,636 |
Principal |
Value |
|||||||
Keurig Dr Pepper, Inc. |
||||||||
3.400% due 11/15/25 |
$250,000 | $240,276 | ||||||
4.417% due 05/25/25 |
100,000 | 98,793 | ||||||
Kroger Co. |
350,000 | 341,455 | ||||||
Laboratory Corp. of America Holdings |
||||||||
3.250% due 09/01/24 |
250,000 | 243,719 | ||||||
3.600% due 02/01/25 |
600,000 | 584,006 | ||||||
McCormick & Co., Inc. |
600,000 | 537,939 | ||||||
McKesson Corp. |
||||||||
0.900% due 12/03/25 |
250,000 | 226,136 | ||||||
5.250% due 02/15/26 |
1,065,000 | 1,068,118 | ||||||
Mead Johnson Nutrition Co. (United Kingdom) |
250,000 | 247,028 | ||||||
Merck & Co., Inc. |
||||||||
0.750% due 02/24/26 |
250,000 | 229,042 | ||||||
2.750% due 02/10/25 |
1,250,000 | 1,222,295 | ||||||
Mondelez International, Inc. |
500,000 | 468,215 | ||||||
Moodys Corp. |
250,000 | 245,060 | ||||||
Novartis Capital Corp. (Switzerland) |
||||||||
1.750% due 02/14/25 |
250,000 | 238,565 | ||||||
3.000% due 11/20/25 |
1,250,000 | 1,211,292 | ||||||
3.400% due 05/06/24 |
250,000 | 246,881 | ||||||
PayPal Holdings, Inc. |
||||||||
1.650% due 06/01/25 |
750,000 | 704,365 | ||||||
2.400% due 10/01/24 |
185,000 | 179,278 | ||||||
PeaceHealth Obligated Group |
250,000 | 227,688 | ||||||
PepsiCo, Inc. |
||||||||
2.250% due 03/19/25 |
1,000,000 | 965,552 | ||||||
2.750% due 04/30/25 |
250,000 | 242,241 | ||||||
2.850% due 02/24/26 |
500,000 | 484,190 | ||||||
3.500% due 07/17/25 |
250,000 | 246,636 | ||||||
4.550% due 02/13/26 |
195,000 | 198,501 | ||||||
PerkinElmer, Inc. |
250,000 | 234,817 | ||||||
Pfizer, Inc. |
1,000,000 | 927,994 | ||||||
Philip Morris International, Inc. |
||||||||
1.500% due 05/01/25 |
1,250,000 | 1,169,843 | ||||||
3.375% due 08/11/25 |
250,000 | 242,276 | ||||||
4.875% due 02/13/26 |
800,000 | 806,349 | ||||||
5.000% due 11/17/25 |
240,000 | 241,994 | ||||||
Procter & Gamble Co. |
||||||||
0.550% due 10/29/25 |
250,000 | 229,160 | ||||||
2.700% due 02/02/26 |
500,000 | 484,133 | ||||||
4.100% due 01/26/26 |
50,000 | 50,419 | ||||||
Quanta Services, Inc. |
250,000 | 233,302 | ||||||
Quest Diagnostics, Inc. |
250,000 | 242,410 | ||||||
Reynolds American, Inc. (United Kingdom) |
350,000 | 343,866 | ||||||
Shire Acquisitions Investments Ireland DAC |
140,000 | 138,311 | ||||||
Stryker Corp. |
||||||||
1.150% due 06/15/25 |
500,000 | 462,137 | ||||||
3.375% due 11/01/25 |
250,000 | 241,220 | ||||||
3.500% due 03/15/26 |
250,000 | 242,555 | ||||||
Sysco Corp. |
250,000 | 243,482 | ||||||
Thermo Fisher Scientific, Inc. |
1,000,000 | 949,531 | ||||||
Tyson Foods, Inc. |
1,250,000 | 1,234,030 | ||||||
Unilever Capital Corp. (United Kingdom) |
165,000 | 156,050 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
184
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
UnitedHealth Group, Inc. |
| |||||||
0.550% due 05/15/24 |
$165,000 | $157,426 | ||||||
3.100% due 03/15/26 |
350,000 | 338,555 | ||||||
3.750% due 07/15/25 |
250,000 | 247,087 | ||||||
5.000% due 10/15/24 |
125,000 | 125,914 | ||||||
5.150% due 10/15/25 |
1,305,000 | 1,330,481 | ||||||
Verisk Analytics, Inc. |
250,000 | 244,229 | ||||||
Zimmer Biomet Holdings, Inc. |
||||||||
1.450% due 11/22/24 |
180,000 | 170,205 | ||||||
3.550% due 04/01/25 |
750,000 | 727,783 | ||||||
Zoetis, Inc. |
595,000 | 605,361 | ||||||
|
|
|||||||
62,689,450 | ||||||||
|
|
|||||||
Energy - 5.4% |
| |||||||
Boardwalk Pipelines LP |
500,000 | 497,207 | ||||||
BP Capital Markets America, Inc. |
||||||||
3.410% due 02/11/26 |
750,000 | 731,273 | ||||||
3.796% due 09/21/25 |
250,000 | 248,152 | ||||||
Canadian Natural Resources Ltd. (Canada) |
||||||||
2.050% due 07/15/25 |
250,000 | 233,730 | ||||||
3.900% due 02/01/25 |
500,000 | 489,994 | ||||||
Cheniere Corpus Christi Holdings LLC |
500,000 | 503,806 | ||||||
Chevron Corp. |
||||||||
1.554% due 05/11/25 |
1,000,000 | 943,432 | ||||||
3.326% due 11/17/25 |
250,000 | 245,367 | ||||||
Chevron USA, Inc. |
||||||||
0.687% due 08/12/25 |
250,000 | 229,549 | ||||||
3.900% due 11/15/24 |
350,000 | 348,894 | ||||||
Columbia Pipeline Group, Inc. |
250,000 | 246,933 | ||||||
ConocoPhillips Co. |
||||||||
2.400% due 03/07/25 |
200,000 | 192,088 | ||||||
3.350% due 11/15/24 |
500,000 | 490,018 | ||||||
Continental Resources, Inc. |
285,000 | 279,422 | ||||||
Devon Energy Corp. |
500,000 | 508,327 | ||||||
Enbridge, Inc. (Canada) |
||||||||
2.500% due 01/15/25 |
250,000 | 239,656 | ||||||
2.500% due 02/14/25 |
540,000 | 517,406 | ||||||
3.500% due 06/10/24 |
250,000 | 244,806 | ||||||
5.969% due 03/08/26 |
180,000 | 180,556 | ||||||
Energy Transfer LP |
||||||||
2.900% due 05/15/25 |
250,000 | 238,375 | ||||||
4.050% due 03/15/25 |
500,000 | 490,639 | ||||||
4.750% due 01/15/26 |
750,000 | 741,180 | ||||||
5.950% due 12/01/25 |
250,000 | 254,112 | ||||||
Enterprise Products Operating LLC |
||||||||
3.750% due 02/15/25 |
200,000 | 196,223 | ||||||
5.050% due 01/10/26 |
555,000 | 563,001 | ||||||
EOG Resources, Inc. |
250,000 | 247,730 | ||||||
EQT Corp. |
||||||||
5.678% due 10/01/25 |
60,000 | 59,884 | ||||||
6.125% due 02/01/25 |
500,000 | 503,474 | ||||||
Exxon Mobil Corp. |
||||||||
2.709% due 03/06/25 |
1,000,000 | 971,395 | ||||||
2.992% due 03/19/25 |
500,000 | 487,054 | ||||||
3.043% due 03/01/26 |
850,000 | 825,492 | ||||||
Halliburton Co. |
250,000 | 245,094 | ||||||
Hess Corp. |
250,000 | 244,338 | ||||||
Kinder Morgan, Inc. |
1,100,000 | 1,083,930 | ||||||
Marathon Petroleum Corp. |
750,000 | 748,874 | ||||||
MPLX LP |
Principal |
Value |
|||||||
1.750% due 03/01/26 |
$250,000 | $228,291 | ||||||
4.875% due 12/01/24 |
500,000 | 497,102 | ||||||
4.875% due 06/01/25 |
500,000 | 496,610 | ||||||
ONEOK, Inc. |
1,000,000 | 927,409 | ||||||
Ovintiv Exploration, Inc. |
250,000 | 250,620 | ||||||
Phillips 66 |
500,000 | 453,038 | ||||||
Pioneer Natural Resources Co. |
240,000 | 241,123 | ||||||
Plains All American Pipeline LP/PAA Finance Corp. |
850,000 | 828,584 | ||||||
Sabine Pass Liquefaction LLC |
1,150,000 | 1,157,763 | ||||||
Shell International Finance BV (Netherlands) |
||||||||
2.000% due 11/07/24 |
350,000 | 336,538 | ||||||
3.250% due 05/11/25 |
850,000 | 831,208 | ||||||
TotalEnergies Capital International SA (France) |
350,000 | 338,516 | ||||||
TransCanada PipeLines Ltd. (Canada) |
||||||||
1.000% due 10/12/24 |
400,000 | 375,232 | ||||||
6.203% due 03/09/26 |
250,000 | 251,812 | ||||||
Transcontinental Gas Pipe Line Co. LLC |
250,000 | 267,947 | ||||||
Williams Cos., Inc. |
||||||||
3.900% due 01/15/25 |
1,350,000 | 1,324,195 | ||||||
5.400% due 03/02/26 |
175,000 | 178,389 | ||||||
|
|
|||||||
24,255,788 | ||||||||
|
|
|||||||
Financial - 45.3% |
| |||||||
AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland) |
||||||||
1.650% due 10/29/24 |
1,435,000 | 1,343,312 | ||||||
1.750% due 10/29/24 |
285,000 | 265,725 | ||||||
3.500% due 01/15/25 |
685,000 | 654,488 | ||||||
6.500% due 07/15/25 |
250,000 | 252,012 | ||||||
Air Lease Corp. |
||||||||
0.800% due 08/18/24 |
85,000 | 79,323 | ||||||
2.300% due 02/01/25 |
650,000 | 615,734 | ||||||
2.875% due 01/15/26 |
750,000 | 699,816 | ||||||
3.375% due 07/01/25 |
250,000 | 238,380 | ||||||
Aircastle Ltd. |
10,000 | 9,796 | ||||||
Alexandria Real Estate Equities, Inc. REIT |
250,000 | 240,113 | ||||||
Allied World Assurance Co. Holdings Ltd. |
250,000 | 242,519 | ||||||
Allstate Corp. |
250,000 | 224,715 | ||||||
Ally Financial, Inc. |
||||||||
5.125% due 09/30/24 |
350,000 | 338,923 | ||||||
5.800% due 05/01/25 |
250,000 | 241,589 | ||||||
American Express Co. |
||||||||
2.250% due 03/04/25 |
160,000 | 152,506 | ||||||
3.000% due 10/30/24 |
250,000 | 242,193 | ||||||
3.375% due 05/03/24 |
1,525,000 | 1,495,508 | ||||||
3.950% due 08/01/25 |
2,250,000 | 2,207,731 | ||||||
4.900% due 02/13/26 |
45,000 | 45,451 | ||||||
American International Group, Inc. |
583,000 | 551,866 | ||||||
American Tower Corp. REIT |
||||||||
1.300% due 09/15/25 |
250,000 | 228,991 | ||||||
3.375% due 05/15/24 |
400,000 | 391,698 | ||||||
4.400% due 02/15/26 |
500,000 | 493,198 | ||||||
Ameriprise Financial, Inc. |
||||||||
3.000% due 04/02/25 |
250,000 | 240,616 | ||||||
3.700% due 10/15/24 |
250,000 | 244,792 | ||||||
Aon Global Ltd. |
1,250,000 | 1,220,119 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
185
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Ares Capital Corp. |
||||||||
3.250% due 07/15/25 |
$250,000 | $228,634 | ||||||
4.200% due 06/10/24 |
1,000,000 | 967,013 | ||||||
4.250% due 03/01/25 |
500,000 | 472,857 | ||||||
Australia & New Zealand Banking Group Ltd. (Australia) |
||||||||
3.700% due 11/16/25 |
250,000 | 243,904 | ||||||
5.088% due 12/08/25 |
250,000 | 252,168 | ||||||
AvalonBay Communities, Inc. REIT |
250,000 | 241,654 | ||||||
Banco Bilbao Vizcaya Argentaria SA (Spain) |
||||||||
1.125% due 09/18/25 |
250,000 | 225,370 | ||||||
5.862% due 09/14/26 |
200,000 | 198,418 | ||||||
Banco Santander SA (Spain) |
||||||||
1.849% due 03/25/26 |
200,000 | 179,590 | ||||||
2.746% due 05/28/25 |
250,000 | 235,975 | ||||||
3.496% due 03/24/25 |
1,200,000 | 1,155,208 | ||||||
3.892% due 05/24/24 |
200,000 | 195,664 | ||||||
5.147% due 08/18/25 |
1,310,000 | 1,287,088 | ||||||
Bank of America Corp. |
||||||||
0.976% due 04/22/25 |
1,250,000 | 1,191,486 | ||||||
0.981% due 09/25/25 |
1,500,000 | 1,400,633 | ||||||
1.319% due 06/19/26 |
3,700,000 | 3,384,951 | ||||||
1.530% due 12/06/25 |
350,000 | 327,486 | ||||||
2.456% due 10/22/25 |
500,000 | 476,315 | ||||||
3.366% due 01/23/26 |
2,750,000 | 2,646,864 | ||||||
3.384% due 04/02/26 |
350,000 | 335,817 | ||||||
3.841% due 04/25/25 |
500,000 | 491,070 | ||||||
3.875% due 08/01/25 |
500,000 | 489,042 | ||||||
4.000% due 01/22/25 |
1,000,000 | 977,748 | ||||||
4.200% due 08/26/24 |
250,000 | 245,772 | ||||||
4.450% due 03/03/26 |
1,000,000 | 977,448 | ||||||
4.827% due 07/22/26 |
2,150,000 | 2,126,941 | ||||||
5.080% due 01/20/27 |
200,000 | 199,528 | ||||||
Bank of Montreal (Canada) |
||||||||
0.625% due 07/09/24 |
285,000 | 269,570 | ||||||
0.949% due 01/22/27 |
500,000 | 446,964 | ||||||
1.500% due 01/10/25 |
145,000 | 136,431 | ||||||
1.850% due 05/01/25 |
250,000 | 234,242 | ||||||
3.700% due 06/07/25 |
1,610,000 | 1,564,862 | ||||||
4.250% due 09/14/24 |
150,000 | 148,225 | ||||||
5.200% due 12/12/24 |
900,000 | 901,557 | ||||||
Bank of New York Mellon Corp. |
||||||||
0.500% due 04/26/24 |
250,000 | 237,906 | ||||||
0.850% due 10/25/24 |
200,000 | 186,561 | ||||||
3.350% due 04/25/25 |
200,000 | 192,765 | ||||||
3.430% due 06/13/25 |
1,200,000 | 1,172,564 | ||||||
4.414% due 07/24/26 |
1,490,000 | 1,470,974 | ||||||
Bank of Nova Scotia (Canada) |
||||||||
0.650% due 07/31/24 |
2,135,000 | 2,013,466 | ||||||
0.700% due 04/15/24 |
250,000 | 238,541 | ||||||
1.450% due 01/10/25 |
190,000 | 178,206 | ||||||
3.450% due 04/11/25 |
1,120,000 | 1,086,874 | ||||||
4.500% due 12/16/25 |
250,000 | 245,291 | ||||||
4.750% due 02/02/26 |
580,000 | 577,791 | ||||||
5.250% due 12/06/24 |
165,000 | 165,456 | ||||||
Barclays PLC (United Kingdom) |
||||||||
2.852% due 05/07/26 |
1,500,000 | 1,402,028 | ||||||
3.650% due 03/16/25 |
250,000 | 239,164 | ||||||
3.932% due 05/07/25 |
750,000 | 729,993 | ||||||
4.375% due 09/11/24 |
1,500,000 | 1,446,164 | ||||||
4.375% due 01/12/26 |
250,000 | 241,541 | ||||||
7.325% due 11/02/26 |
250,000 | 256,259 | ||||||
Berkshire Hathaway, Inc. |
750,000 | 730,961 | ||||||
Blackstone Private Credit Fund |
||||||||
2.350% due 11/22/24 |
200,000 | 186,084 | ||||||
2.700% due 01/15/25 |
115,000 | 105,988 | ||||||
4.700% due 03/24/25 |
200,000 | 191,783 | ||||||
7.050% due 09/29/25 ~ |
600,000 | 592,383 | ||||||
BNP Paribas SA (France) |
250,000 | 242,143 |
Principal |
Value |
|||||||
Boston Properties LP REIT |
| |||||||
3.200% due 01/15/25 |
$350,000 | $325,000 | ||||||
3.650% due 02/01/26 |
500,000 | 457,464 | ||||||
BPCE SA (France) |
350,000 | 342,384 | ||||||
Brandywine Operating Partnership LP REIT |
250,000 | 230,704 | ||||||
Brixmor Operating Partnership LP REIT |
150,000 | 144,029 | ||||||
Brookfield Corp. (Canada) |
350,000 | 343,832 | ||||||
Canadian Imperial Bank of Commerce (Canada) |
||||||||
0.950% due 10/23/25 |
250,000 | 226,445 | ||||||
1.000% due 10/18/24 |
150,000 | 140,860 | ||||||
2.250% due 01/28/25 |
750,000 | 713,170 | ||||||
3.300% due 04/07/25 |
35,000 | 33,904 | ||||||
3.945% due 08/04/25 |
700,000 | 680,695 | ||||||
Capital One Financial Corp. |
||||||||
2.636% due 03/03/26 |
435,000 | 403,348 | ||||||
3.200% due 02/05/25 |
500,000 | 470,275 | ||||||
3.300% due 10/30/24 |
750,000 | 716,473 | ||||||
4.166% due 05/09/25 |
150,000 | 145,382 | ||||||
4.200% due 10/29/25 |
1,000,000 | 933,170 | ||||||
4.985% due 07/24/26 |
150,000 | 144,716 | ||||||
Capital One NA |
750,000 | 691,907 | ||||||
Charles Schwab Corp. |
||||||||
0.900% due 03/11/26 |
1,000,000 | 877,952 | ||||||
3.625% due 04/01/25 |
200,000 | 192,354 | ||||||
3.850% due 05/21/25 |
250,000 | 240,673 | ||||||
Chubb INA Holdings, Inc. |
||||||||
3.150% due 03/15/25 |
400,000 | 390,551 | ||||||
3.350% due 05/15/24 |
250,000 | 245,998 | ||||||
Citigroup, Inc. |
||||||||
0.981% due 05/01/25 |
850,000 | 807,913 | ||||||
1.122% due 01/28/27 |
2,500,000 | 2,230,316 | ||||||
1.281% due 11/03/25 |
650,000 | 607,645 | ||||||
3.106% due 04/08/26 |
500,000 | 478,357 | ||||||
3.290% due 03/17/26 |
2,750,000 | 2,637,399 | ||||||
3.300% due 04/27/25 |
2,000,000 | 1,931,172 | ||||||
3.352% due 04/24/25 |
250,000 | 243,760 | ||||||
4.140% due 05/24/25 |
160,000 | 157,233 | ||||||
4.400% due 06/10/25 |
1,000,000 | 975,518 | ||||||
5.610% due 09/29/26 |
750,000 | 756,100 | ||||||
Citizens Bank NA |
250,000 | 235,415 | ||||||
CME Group, Inc. |
150,000 | 145,469 | ||||||
CNA Financial Corp. |
350,000 | 346,791 | ||||||
CNO Financial Group, Inc. |
250,000 | 247,586 | ||||||
Commonwealth Bank of Australia (Australia) |
500,000 | 508,793 | ||||||
Cooperatieve Rabobank UA (Netherlands) |
||||||||
1.375% due 01/10/25 |
100,000 | 94,001 | ||||||
3.875% due 08/22/24 |
835,000 | 822,602 | ||||||
4.375% due 08/04/25 |
1,000,000 | 968,101 | ||||||
Corebridge Financial, Inc. |
500,000 | 480,694 | ||||||
Credit Suisse AG (Switzerland) |
||||||||
3.625% due 09/09/24 |
250,000 | 238,192 | ||||||
3.700% due 02/21/25 |
1,875,000 | 1,782,056 | ||||||
4.750% due 08/09/24 |
750,000 | 727,725 | ||||||
Credit Suisse Group AG (Switzerland) |
250,000 | 230,617 | ||||||
Crown Castle, Inc. REIT |
||||||||
3.200% due 09/01/24 |
250,000 | 242,947 | ||||||
4.450% due 02/15/26 |
500,000 | 493,775 | ||||||
Deutsche Bank AG (Germany) |
||||||||
0.898% due 05/28/24 |
1,650,000 | 1,549,769 | ||||||
1.447% due 04/01/25 |
250,000 | 232,677 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
186
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
3.700% due 05/30/24 |
$750,000 | $712,300 | ||||||
3.961% due 11/26/25 |
250,000 | 236,694 | ||||||
4.162% due 05/13/25 |
1,000,000 | 954,757 | ||||||
6.119% due 07/14/26 |
165,000 | 159,894 | ||||||
Discover Financial Services |
||||||||
3.950% due 11/06/24 |
1,000,000 | 954,272 | ||||||
4.500% due 01/30/26 |
250,000 | 241,318 | ||||||
EPR Properties REIT |
200,000 | 193,254 | ||||||
Equinix, Inc. REIT |
||||||||
1.000% due 09/15/25 |
350,000 | 317,141 | ||||||
2.625% due 11/18/24 |
500,000 | 481,529 | ||||||
Fifth Third Bancorp |
250,000 | 232,758 | ||||||
Fifth Third Bank NA |
||||||||
3.950% due 07/28/25 |
500,000 | 470,973 | ||||||
5.852% due 10/27/25 |
320,000 | 315,640 | ||||||
First-Citizens Bank & Trust Co. |
500,000 | 454,633 | ||||||
FS KKR Capital Corp. |
||||||||
1.650% due 10/12/24 |
200,000 | 184,075 | ||||||
4.125% due 02/01/25 |
500,000 | 473,393 | ||||||
4.625% due 07/15/24 |
250,000 | 241,930 | ||||||
GLP Capital LP/GLP Financing II, Inc. REIT |
350,000 | 342,131 | ||||||
Goldman Sachs BDC, Inc. |
250,000 | 237,638 | ||||||
Goldman Sachs Group, Inc. |
||||||||
0.855% due 02/12/26 |
2,000,000 | 1,832,081 | ||||||
1.093% due 12/09/26 |
250,000 | 224,060 | ||||||
3.272% due 09/29/25 |
1,500,000 | 1,456,126 | ||||||
3.500% due 04/01/25 |
350,000 | 340,045 | ||||||
3.750% due 05/22/25 |
500,000 | 485,851 | ||||||
3.750% due 02/25/26 |
250,000 | 243,207 | ||||||
3.850% due 07/08/24 |
500,000 | 490,267 | ||||||
4.250% due 10/21/25 |
250,000 | 242,797 | ||||||
5.700% due 11/01/24 |
3,885,000 | 3,914,780 | ||||||
Host Hotels & Resorts LP REIT |
250,000 | 239,992 | ||||||
HSBC Holdings PLC (United Kingdom) |
||||||||
1.645% due 04/18/26 |
1,850,000 | 1,690,863 | ||||||
2.099% due 06/04/26 |
250,000 | 229,765 | ||||||
2.633% due 11/07/25 |
1,850,000 | 1,751,656 | ||||||
2.999% due 03/10/26 |
200,000 | 188,797 | ||||||
4.180% due 12/09/25 |
2,500,000 | 2,429,936 | ||||||
4.250% due 08/18/25 |
250,000 | 237,979 | ||||||
4.292% due 09/12/26 |
500,000 | 479,203 | ||||||
7.336% due 11/03/26 |
200,000 | 207,710 | ||||||
HSBC USA, Inc. |
||||||||
3.750% due 05/24/24 |
200,000 | 195,117 | ||||||
5.625% due 03/17/25 |
250,000 | 250,689 | ||||||
Huntington National Bank |
1,000,000 | 958,161 | ||||||
ING Groep NV (Netherlands) |
||||||||
3.550% due 04/09/24 |
250,000 | 244,795 | ||||||
3.869% due 03/28/26 |
750,000 | 725,834 | ||||||
Intercontinental Exchange, Inc. |
||||||||
3.650% due 05/23/25 |
95,000 | 92,958 | ||||||
3.750% due 12/01/25 |
1,000,000 | 970,862 | ||||||
JPMorgan Chase & Co. |
||||||||
0.768% due 08/09/25 |
315,000 | 295,944 | ||||||
0.824% due 06/01/25 |
2,755,000 | 2,612,134 | ||||||
0.969% due 06/23/25 |
750,000 | 710,902 | ||||||
1.045% due 11/19/26 |
2,250,000 | 2,009,764 | ||||||
1.561% due 12/10/25 |
250,000 | 234,622 | ||||||
2.083% due 04/22/26 |
2,300,000 | 2,153,379 | ||||||
2.301% due 10/15/25 |
250,000 | 239,192 | ||||||
2.595% due 02/24/26 |
500,000 | 474,164 | ||||||
3.845% due 06/14/25 |
400,000 | 392,449 | ||||||
3.960% due 01/29/27 |
500,000 | 485,963 | ||||||
4.080% due 04/26/26 |
350,000 | 343,829 | ||||||
5.546% due 12/15/25 |
4,500,000 | 4,533,255 |
Principal |
Value |
|||||||
7.750% due 07/15/25 |
$250,000 | $264,228 | ||||||
KeyBank NA |
||||||||
4.150% due 08/08/25 |
250,000 | 236,590 | ||||||
4.700% due 01/26/26 |
1,000,000 | 960,714 | ||||||
KeyCorp |
45,000 | 43,399 | ||||||
Kilroy Realty LP REIT |
750,000 | 675,012 | ||||||
Kimco Realty OP LLC REIT |
150,000 | 144,346 | ||||||
Lazard Group LLC |
250,000 | 243,319 | ||||||
Lloyds Banking Group PLC (United Kingdom) |
||||||||
3.511% due 03/18/26 |
200,000 | 190,464 | ||||||
3.870% due 07/09/25 |
1,750,000 | 1,701,938 | ||||||
4.450% due 05/08/25 |
250,000 | 243,356 | ||||||
4.500% due 11/04/24 |
250,000 | 242,448 | ||||||
4.650% due 03/24/26 |
350,000 | 332,624 | ||||||
4.716% due 08/11/26 |
200,000 | 194,871 | ||||||
Main Street Capital Corp. |
250,000 | 244,699 | ||||||
Manufacturers & Traders Trust Co. |
||||||||
4.650% due 01/27/26 |
250,000 | 235,632 | ||||||
5.400% due 11/21/25 |
250,000 | 241,658 | ||||||
Manulife Financial Corp. (Canada) |
250,000 | 246,272 | ||||||
Marsh & McLennan Cos., Inc. |
250,000 | 243,683 | ||||||
Mastercard, Inc. |
750,000 | 718,069 | ||||||
MetLife, Inc. |
500,000 | 489,587 | ||||||
Mid-America Apartments LP REIT |
250,000 | 245,727 | ||||||
Mitsubishi UFJ Financial Group, Inc. (Japan) |
||||||||
0.962% due 10/11/25 |
350,000 | 326,180 | ||||||
1.412% due 07/17/25 |
1,750,000 | 1,605,846 | ||||||
2.193% due 02/25/25 |
250,000 | 235,696 | ||||||
2.801% due 07/18/24 |
500,000 | 482,583 | ||||||
4.788% due 07/18/25 |
200,000 | 198,142 | ||||||
5.063% due 09/12/25 |
1,200,000 | 1,192,460 | ||||||
5.719% due 02/20/26 |
1,500,000 | 1,504,900 | ||||||
Mizuho Financial Group, Inc. (Japan) |
||||||||
2.555% due 09/13/25 |
1,000,000 | 955,198 | ||||||
2.651% due 05/22/26 |
350,000 | 330,058 | ||||||
Morgan Stanley |
||||||||
0.790% due 05/30/25 |
2,000,000 | 1,894,081 | ||||||
0.864% due 10/21/25 |
1,500,000 | 1,392,337 | ||||||
0.985% due 12/10/26 |
250,000 | 223,031 | ||||||
1.164% due 10/21/25 |
2,555,000 | 2,387,624 | ||||||
2.188% due 04/28/26 |
1,000,000 | 938,779 | ||||||
3.620% due 04/17/25 |
300,000 | 294,655 | ||||||
3.875% due 01/27/26 |
500,000 | 488,287 | ||||||
4.000% due 07/23/25 |
4,250,000 | 4,162,815 | ||||||
4.679% due 07/17/26 |
345,000 | 340,766 | ||||||
5.050% due 01/28/27 |
300,000 | 299,399 | ||||||
6.138% due 10/16/26 |
750,000 | 764,825 | ||||||
National Australia Bank Ltd. (Australia) |
||||||||
3.375% due 01/14/26 |
1,000,000 | 968,037 | ||||||
4.966% due 01/12/26 |
250,000 | 252,459 | ||||||
5.132% due 11/22/24 |
250,000 | 251,734 | ||||||
National Bank of Canada (Canada) |
800,000 | 799,188 | ||||||
Natwest Group PLC (United Kingdom) |
||||||||
5.847% due 03/02/27 |
500,000 | 501,747 | ||||||
7.472% due 11/10/26 |
750,000 | 775,797 | ||||||
Nomura Holdings, Inc. (Japan) |
||||||||
1.851% due 07/16/25 |
250,000 | 228,960 | ||||||
2.648% due 01/16/25 |
850,000 | 805,813 | ||||||
5.709% due 01/09/26 |
500,000 | 501,817 | ||||||
Northern Trust Corp. |
250,000 | 239,565 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
187
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Oaktree Specialty Lending Corp. |
$150,000 | $142,708 | ||||||
Old Republic International Corp. |
150,000 | 148,079 | ||||||
Omega Healthcare Investors, Inc. REIT |
400,000 | 383,578 | ||||||
Owl Rock Capital Corp. |
||||||||
4.000% due 03/30/25 |
350,000 | 326,643 | ||||||
5.250% due 04/15/24 |
350,000 | 340,746 | ||||||
PNC Bank NA |
||||||||
2.500% due 08/27/24 |
2,000,000 | 1,922,214 | ||||||
3.875% due 04/10/25 |
250,000 | 241,893 | ||||||
PNC Financial Services Group, Inc. |
||||||||
4.758% due 01/26/27 |
90,000 | 88,954 | ||||||
5.671% due 10/28/25 |
200,000 | 200,248 | ||||||
Prudential Financial, Inc. |
500,000 | 456,431 | ||||||
Radian Group, Inc. |
250,000 | 249,180 | ||||||
Realty Income Corp. |
1,045,000 | 1,042,006 | ||||||
Realty Income Corp. REIT |
200,000 | 195,063 | ||||||
Royal Bank of Canada (Canada) |
||||||||
0.650% due 07/29/24 |
200,000 | 188,991 | ||||||
0.750% due 10/07/24 |
500,000 | 468,949 | ||||||
1.150% due 06/10/25 |
250,000 | 230,135 | ||||||
1.600% due 01/21/25 |
2,650,000 | 2,499,265 | ||||||
3.375% due 04/14/25 |
250,000 | 242,711 | ||||||
3.970% due 07/26/24 |
150,000 | 148,027 | ||||||
4.650% due 01/27/26 |
1,000,000 | 985,810 | ||||||
4.875% due 01/12/26 |
200,000 | 200,478 | ||||||
Santander Holdings USA, Inc. |
||||||||
3.500% due 06/07/24 |
500,000 | 485,525 | ||||||
4.260% due 06/09/25 |
150,000 | 144,945 | ||||||
4.500% due 07/17/25 |
250,000 | 239,026 | ||||||
5.807% due 09/09/26 |
60,000 | 59,020 | ||||||
Santander UK Group Holdings PLC (United Kingdom) |
||||||||
1.532% due 08/21/26 |
750,000 | 669,760 | ||||||
6.833% due 11/21/26 |
700,000 | 709,667 | ||||||
Simon Property Group LP REIT |
||||||||
3.375% due 10/01/24 |
350,000 | 341,959 | ||||||
3.500% due 09/01/25 |
750,000 | 723,774 | ||||||
SITE Centers Corp. REIT |
250,000 | 236,745 | ||||||
Sixth Street Specialty Lending, Inc. |
350,000 | 334,037 | ||||||
Sumitomo Mitsui Banking Corp. (Japan) |
250,000 | 245,427 | ||||||
Sumitomo Mitsui Financial Group, Inc. (Japan) |
||||||||
1.474% due 07/08/25 |
1,000,000 | 916,339 | ||||||
2.448% due 09/27/24 |
350,000 | 335,612 | ||||||
3.784% due 03/09/26 |
250,000 | 241,978 | ||||||
5.464% due 01/13/26 |
1,785,000 | 1,803,223 | ||||||
Synchrony Bank |
250,000 | 234,701 | ||||||
Synchrony Financial |
||||||||
4.250% due 08/15/24 |
750,000 | 709,394 | ||||||
4.875% due 06/13/25 |
130,000 | 120,474 | ||||||
Toronto-Dominion Bank (Canada) |
||||||||
0.750% due 09/11/25 |
250,000 | 225,488 | ||||||
1.150% due 06/12/25 |
250,000 | 230,227 | ||||||
1.250% due 12/13/24 |
130,000 | 122,105 | ||||||
2.650% due 06/12/24 |
1,500,000 | 1,458,610 | ||||||
4.285% due 09/13/24 |
2,700,000 | 2,669,858 | ||||||
5.103% due 01/09/26 |
200,000 | 201,350 | ||||||
Truist Bank |
||||||||
2.150% due 12/06/24 |
400,000 | 377,077 | ||||||
2.636% due 09/17/29 |
1,500,000 | 1,409,167 | ||||||
3.625% due 09/16/25 |
250,000 | 238,652 | ||||||
Truist Financial Corp. |
||||||||
1.200% due 08/05/25 |
250,000 | 224,975 |
Principal |
Value |
|||||||
1.267% due 03/02/27 |
$250,000 | $220,446 | ||||||
2.500% due 08/01/24 |
250,000 | 239,085 | ||||||
3.700% due 06/05/25 |
350,000 | 333,866 | ||||||
4.260% due 07/28/26 |
1,200,000 | 1,157,873 | ||||||
5.900% due 10/28/26 |
110,000 | 109,772 | ||||||
US Bancorp |
||||||||
3.600% due 09/11/24 |
2,000,000 | 1,935,787 | ||||||
5.727% due 10/21/26 |
95,000 | 95,500 | ||||||
US Bank NA |
||||||||
2.050% due 01/21/25 |
500,000 | 471,387 | ||||||
2.800% due 01/27/25 |
350,000 | 335,165 | ||||||
Ventas Realty LP REIT |
||||||||
2.650% due 01/15/25 |
350,000 | 333,760 | ||||||
4.125% due 01/15/26 |
500,000 | 485,442 | ||||||
Visa, Inc. |
1,500,000 | 1,458,202 | ||||||
Vornado Realty LP REIT |
250,000 | 226,168 | ||||||
Wells Fargo & Co. |
||||||||
0.805% due 05/19/25 |
310,000 | 294,507 | ||||||
2.164% due 02/11/26 |
2,000,000 | 1,882,710 | ||||||
2.188% due 04/30/26 |
250,000 | 234,465 | ||||||
2.406% due 10/30/25 |
750,000 | 713,176 | ||||||
3.000% due 02/19/25 |
500,000 | 481,877 | ||||||
3.550% due 09/29/25 |
1,750,000 | 1,683,901 | ||||||
3.908% due 04/25/26 |
295,000 | 286,549 | ||||||
4.540% due 08/15/26 |
1,650,000 | 1,621,116 | ||||||
Welltower OP LLC REIT |
500,000 | 485,936 | ||||||
Western Union Co. |
250,000 | 238,754 | ||||||
Westpac Banking Corp. (Australia) |
||||||||
1.019% due 11/18/24 |
135,000 | 126,987 | ||||||
2.350% due 02/19/25 |
600,000 | 575,756 | ||||||
2.894% due 02/04/30 |
1,500,000 | 1,407,617 | ||||||
3.735% due 08/26/25 |
250,000 | 244,721 | ||||||
5.350% due 10/18/24 |
500,000 | 503,743 | ||||||
Willis North America, Inc. |
150,000 | 147,867 | ||||||
WP Carey, Inc. REIT |
500,000 | 484,654 | ||||||
|
|
|||||||
201,735,290 | ||||||||
|
|
|||||||
Industrial - 6.9% |
| |||||||
3M Co. |
||||||||
2.000% due 02/14/25 |
250,000 | 238,261 | ||||||
3.000% due 08/07/25 |
500,000 | 480,975 | ||||||
Amcor Flexibles North America, Inc. |
350,000 | 342,957 | ||||||
Amphenol Corp. |
255,000 | 256,177 | ||||||
Arrow Electronics, Inc. |
||||||||
3.250% due 09/08/24 |
350,000 | 340,191 | ||||||
6.125% due 03/01/26 |
100,000 | 100,262 | ||||||
Berry Global, Inc. |
250,000 | 227,123 | ||||||
Boeing Co. |
||||||||
2.196% due 02/04/26 |
2,500,000 | 2,320,641 | ||||||
2.850% due 10/30/24 |
150,000 | 144,929 | ||||||
4.875% due 05/01/25 |
1,500,000 | 1,497,687 | ||||||
Burlington Northern Santa Fe LLC |
||||||||
3.000% due 04/01/25 |
350,000 | 340,215 | ||||||
7.000% due 12/15/25 |
250,000 | 265,320 | ||||||
Canadian Pacific Railway Co. (Canada) |
||||||||
1.350% due 12/02/24 |
725,000 | 683,379 | ||||||
2.900% due 02/01/25 |
150,000 | 144,545 | ||||||
Carlisle Cos., Inc. |
150,000 | 146,718 | ||||||
Carrier Global Corp. |
350,000 | 334,138 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
188
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Caterpillar Financial Services Corp. |
||||||||
0.450% due 05/17/24 |
$150,000 | $143,223 | ||||||
0.600% due 09/13/24 |
300,000 | 283,712 | ||||||
0.800% due 11/13/25 |
250,000 | 228,229 | ||||||
3.400% due 05/13/25 |
1,250,000 | 1,225,017 | ||||||
3.650% due 08/12/25 |
200,000 | 196,482 | ||||||
4.800% due 01/06/26 |
1,625,000 | 1,652,532 | ||||||
4.900% due 01/17/25 |
200,000 | 201,236 | ||||||
5.400% due 03/10/25 |
200,000 | 203,829 | ||||||
CNH Industrial Capital LLC |
||||||||
1.875% due 01/15/26 |
250,000 | 230,524 | ||||||
3.950% due 05/23/25 |
95,000 | 92,579 | ||||||
5.450% due 10/14/25 |
65,000 | 65,776 | ||||||
CSX Corp. |
250,000 | 244,605 | ||||||
Flex Ltd. |
600,000 | 576,492 | ||||||
General Dynamics Corp. |
||||||||
3.250% due 04/01/25 |
600,000 | 584,198 | ||||||
3.500% due 05/15/25 |
250,000 | 245,244 | ||||||
Hexcel Corp. |
250,000 | 245,445 | ||||||
Honeywell International, Inc. |
||||||||
1.350% due 06/01/25 |
850,000 | 798,042 | ||||||
4.850% due 11/01/24 |
100,000 | 100,702 | ||||||
John Deere Capital Corp. |
||||||||
0.450% due 06/07/24 |
165,000 | 157,174 | ||||||
0.625% due 09/10/24 |
70,000 | 66,286 | ||||||
1.250% due 01/10/25 |
120,000 | 113,671 | ||||||
2.050% due 01/09/25 |
1,000,000 | 963,239 | ||||||
2.125% due 03/07/25 |
65,000 | 62,098 | ||||||
2.650% due 06/24/24 |
500,000 | 487,647 | ||||||
3.400% due 06/06/25 |
555,000 | 544,069 | ||||||
3.450% due 03/13/25 |
150,000 | 147,628 | ||||||
4.550% due 10/11/24 |
110,000 | 110,075 | ||||||
4.800% due 01/09/26 |
165,000 | 167,608 | ||||||
5.050% due 03/03/26 |
600,000 | 610,568 | ||||||
5.150% due 03/03/25 |
100,000 | 101,311 | ||||||
Johnson Controls International PLC |
500,000 | 491,878 | ||||||
Keysight Technologies, Inc. |
250,000 | 247,463 | ||||||
L3Harris Technologies, Inc. |
500,000 | 487,229 | ||||||
Legrand France SA (France) |
100,000 | 107,121 | ||||||
Lennox International, Inc. |
250,000 | 229,191 | ||||||
Lockheed Martin Corp. |
500,000 | 495,479 | ||||||
Northrop Grumman Corp. |
100,000 | 96,876 | ||||||
Otis Worldwide Corp. |
500,000 | 472,187 | ||||||
Owens Corning |
150,000 | 148,541 | ||||||
Packaging Corp. of America |
100,000 | 98,409 | ||||||
Parker-Hannifin Corp. |
715,000 | 704,478 | ||||||
Raytheon Technologies Corp. |
||||||||
3.950% due 08/16/25 |
250,000 | 247,215 | ||||||
5.000% due 02/27/26 |
805,000 | 817,596 | ||||||
Regal Rexnord Corp. |
500,000 | 502,710 | ||||||
Republic Services, Inc. |
||||||||
0.875% due 11/15/25 |
500,000 | 451,473 | ||||||
2.500% due 08/15/24 |
350,000 | 339,168 | ||||||
Ryder System, Inc. |
||||||||
3.350% due 09/01/25 |
250,000 | 238,824 | ||||||
4.625% due 06/01/25 |
500,000 | 493,514 | ||||||
Stanley Black & Decker, Inc. |
||||||||
3.400% due 03/01/26 |
250,000 | 239,538 |
Principal |
Value |
|||||||
6.272% due 03/06/26 |
$750,000 | $759,103 | ||||||
TD SYNNEX Corp. |
250,000 | 234,043 | ||||||
Teledyne Technologies, Inc. |
200,000 | 191,759 | ||||||
Trane Technologies Luxembourg Finance SA |
250,000 | 242,717 | ||||||
Tyco Electronics Group SA (Switzerland) |
620,000 | 621,522 | ||||||
Union Pacific Corp. |
||||||||
2.750% due 03/01/26 |
750,000 | 716,286 | ||||||
3.250% due 08/15/25 |
250,000 | 243,016 | ||||||
4.750% due 02/21/26 |
65,000 | 65,822 | ||||||
United Parcel Service, Inc. |
750,000 | 740,904 | ||||||
Vulcan Materials Co. |
165,000 | 166,592 | ||||||
Waste Management, Inc. |
500,000 | 455,108 | ||||||
WRKCo, Inc. |
||||||||
3.750% due 03/15/25 |
250,000 | 242,656 | ||||||
4.650% due 03/15/26 |
250,000 | 247,734 | ||||||
|
|
|||||||
30,548,911 | ||||||||
|
|
|||||||
Technology - 7.1% |
| |||||||
Adobe, Inc. |
250,000 | 245,123 | ||||||
Analog Devices, Inc. |
200,000 | 193,374 | ||||||
Apple, Inc. |
||||||||
0.550% due 08/20/25 |
350,000 | 322,603 | ||||||
1.125% due 05/11/25 |
2,500,000 | 2,347,321 | ||||||
2.500% due 02/09/25 |
1,350,000 | 1,309,554 | ||||||
2.750% due 01/13/25 |
500,000 | 487,210 | ||||||
3.200% due 05/13/25 |
350,000 | 343,442 | ||||||
3.250% due 02/23/26 |
500,000 | 489,382 | ||||||
3.450% due 05/06/24 |
1,500,000 | 1,482,871 | ||||||
Applied Materials, Inc. |
250,000 | 246,962 | ||||||
Broadcom, Inc. |
500,000 | 478,649 | ||||||
CDW LLC/CDW Finance Corp. |
250,000 | 242,800 | ||||||
Dell International LLC/EMC Corp. |
||||||||
4.000% due 07/15/24 |
500,000 | 493,411 | ||||||
5.850% due 07/15/25 |
500,000 | 508,427 | ||||||
Fidelity National Information Services, Inc. |
||||||||
1.150% due 03/01/26 |
500,000 | 445,334 | ||||||
4.500% due 07/15/25 |
110,000 | 108,838 | ||||||
Fiserv, Inc. |
||||||||
2.750% due 07/01/24 |
350,000 | 339,694 | ||||||
3.850% due 06/01/25 |
750,000 | 734,797 | ||||||
Genpact Luxembourg SARL |
250,000 | 242,434 | ||||||
Hewlett Packard Enterprise Co. |
||||||||
4.900% due 10/15/25 |
1,100,000 | 1,098,708 | ||||||
6.102% due 04/01/26 |
250,000 | 252,344 | ||||||
HP, Inc. |
500,000 | 471,467 | ||||||
Intel Corp. |
||||||||
3.400% due 03/25/25 |
1,750,000 | 1,720,007 | ||||||
4.875% due 02/10/26 |
920,000 | 932,120 | ||||||
International Business Machines Corp. |
||||||||
3.000% due 05/15/24 |
1,300,000 | 1,276,247 | ||||||
4.000% due 07/27/25 |
900,000 | 890,255 | ||||||
4.500% due 02/06/26 |
250,000 | 249,663 | ||||||
7.000% due 10/30/25 |
250,000 | 265,117 | ||||||
Intuit, Inc. |
250,000 | 231,013 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
189
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
KLA Corp. |
$250,000 | $249,509 | ||||||
Lam Research Corp. |
||||||||
3.750% due 03/15/26 |
250,000 | 245,940 | ||||||
3.800% due 03/15/25 |
250,000 | 245,830 | ||||||
Microchip Technology, Inc. |
350,000 | 344,764 | ||||||
Micron Technology, Inc. |
350,000 | 349,371 | ||||||
Microsoft Corp. |
||||||||
2.700% due 02/12/25 |
250,000 | 243,636 | ||||||
3.125% due 11/03/25 |
1,500,000 | 1,463,573 | ||||||
NetApp, Inc. |
600,000 | 559,753 | ||||||
NVIDIA Corp. |
750,000 | 716,346 | ||||||
NXP BV/NXP Funding LLC (China) |
750,000 | 752,428 | ||||||
Oracle Corp. |
||||||||
1.650% due 03/25/26 |
500,000 | 459,563 | ||||||
2.500% due 04/01/25 |
350,000 | 335,239 | ||||||
2.950% due 11/15/24 |
1,950,000 | 1,894,597 | ||||||
2.950% due 05/15/25 |
500,000 | 481,546 | ||||||
5.800% due 11/10/25 |
1,070,000 | 1,097,207 | ||||||
QUALCOMM, Inc. |
750,000 | 736,467 | ||||||
Roper Technologies, Inc. |
250,000 | 228,737 | ||||||
Salesforce, Inc. |
345,000 | 327,785 | ||||||
Take-Two Interactive Software, Inc. |
500,000 | 487,212 | ||||||
Texas Instruments, Inc. |
||||||||
1.375% due 03/12/25 |
150,000 | 141,690 | ||||||
4.700% due 11/18/24 |
50,000 | 50,466 | ||||||
VMware, Inc. |
||||||||
1.000% due 08/15/24 |
155,000 | 146,332 | ||||||
4.500% due 05/15/25 |
750,000 | 740,894 | ||||||
Western Digital Corp. |
500,000 | 480,370 | ||||||
Xilinx, Inc. |
350,000 | 341,968 | ||||||
|
|
|||||||
31,570,390 | ||||||||
|
|
|||||||
Utilities - 4.8% |
| |||||||
Ameren Corp. |
500,000 | 480,523 | ||||||
Appalachian Power Co. |
500,000 | 484,588 | ||||||
Avangrid, Inc. |
||||||||
3.150% due 12/01/24 |
250,000 | 242,465 | ||||||
3.200% due 04/15/25 |
350,000 | 335,236 | ||||||
Berkshire Hathaway Energy Co. |
||||||||
3.500% due 02/01/25 |
250,000 | 245,862 | ||||||
4.050% due 04/15/25 |
200,000 | 199,035 | ||||||
Black Hills Corp. |
135,000 | 127,108 | ||||||
Constellation Energy Generation LLC |
250,000 | 241,169 | ||||||
Dominion Energy, Inc. |
||||||||
3.071% due 08/15/24 |
750,000 | 727,918 | ||||||
3.300% due 03/15/25 |
150,000 | 144,908 | ||||||
DTE Energy Co. |
||||||||
1.050% due 06/01/25 |
1,250,000 | 1,149,477 | ||||||
4.220% due 11/01/24 |
150,000 | 148,406 | ||||||
Duke Energy Corp. |
||||||||
0.900% due 09/15/25 |
750,000 | 683,130 | ||||||
3.750% due 04/15/24 |
250,000 | 247,177 | ||||||
5.000% due 12/08/25 |
90,000 | 90,675 | ||||||
Eastern Energy Gas Holdings LLC |
750,000 | 723,022 |
Principal |
Value |
|||||||
Edison International |
$100,000 | $98,688 | ||||||
Emera US Finance LP (Canada) |
350,000 | 329,878 | ||||||
Entergy Corp. |
350,000 | 315,366 | ||||||
Entergy Louisiana LLC |
||||||||
0.950% due 10/01/24 |
145,000 | 136,675 | ||||||
5.400% due 11/01/24 |
750,000 | 755,465 | ||||||
Evergy, Inc. |
500,000 | 479,255 | ||||||
Eversource Energy |
||||||||
0.800% due 08/15/25 |
250,000 | 227,495 | ||||||
2.900% due 10/01/24 |
500,000 | 482,460 | ||||||
4.200% due 06/27/24 |
110,000 | 108,989 | ||||||
Exelon Corp. |
250,000 | 244,408 | ||||||
Florida Power & Light Co. |
350,000 | 339,513 | ||||||
Iberdrola International BV (Spain) |
250,000 | 254,931 | ||||||
ITC Holdings Corp. |
350,000 | 343,337 | ||||||
National Fuel Gas Co. |
250,000 | 249,974 | ||||||
National Rural Utilities Cooperative Finance Corp. |
||||||||
1.000% due 10/18/24 |
315,000 | 296,611 | ||||||
1.875% due 02/07/25 |
200,000 | 189,791 | ||||||
4.450% due 03/13/26 |
565,000 | 564,396 | ||||||
5.450% due 10/30/25 |
100,000 | 101,928 | ||||||
NextEra Energy Capital Holdings, Inc. |
||||||||
4.255% due 09/01/24 |
150,000 | 148,678 | ||||||
4.450% due 06/20/25 |
1,370,000 | 1,361,583 | ||||||
6.051% due 03/01/25 |
1,340,000 | 1,363,879 | ||||||
NiSource, Inc. |
750,000 | 682,799 | ||||||
Oncor Electric Delivery Co. LLC |
750,000 | 725,275 | ||||||
Pacific Gas and Electric Co. |
||||||||
2.950% due 03/01/26 |
250,000 | 232,811 | ||||||
3.150% due 01/01/26 |
250,000 | 233,489 | ||||||
3.400% due 08/15/24 |
750,000 | 729,125 | ||||||
4.950% due 06/08/25 |
50,000 | 49,445 | ||||||
Pinnacle West Capital Corp. |
250,000 | 230,531 | ||||||
Public Service Enterprise Group, Inc. |
500,000 | 486,580 | ||||||
Puget Energy, Inc. |
250,000 | 241,647 | ||||||
Sempra Energy |
245,000 | 237,273 | ||||||
Southern California Edison Co. |
||||||||
0.975% due 08/01/24 |
525,000 | 496,973 | ||||||
1.200% due 02/01/26 |
750,000 | 675,582 | ||||||
4.200% due 06/01/25 |
65,000 | 64,262 | ||||||
Southern California Gas Co. |
250,000 | 242,779 | ||||||
Southern Co. |
165,000 | 163,107 | ||||||
Southern Power Co. |
250,000 | 225,455 | ||||||
Virginia Electric & Power Co. |
500,000 | 484,224 | ||||||
WEC Energy Group, Inc. |
||||||||
4.750% due 01/09/26 |
135,000 | 135,140 | ||||||
5.000% due 09/27/25 |
530,000 | 530,551 | ||||||
|
|
|||||||
21,531,047 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
438,825,368 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
190
PACIFIC SELECT FUND
PD 1-3 YEAR CORPORATE BOND PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
SHORT-TERM INVESTMENT - 2.0% |
| |||||||
Money Market Funds - 2.0% |
| |||||||
BlackRock Liquidity Funds: T-Fund Institutional Shares 4.700% |
9,072,686 | $9,072,686 | ||||||
|
|
|||||||
Total Short-Term Investment |
9,072,686 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.6% |
447,898,054 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.6%) |
|
(2,677,365 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$445,220,689 | |||||||
|
|
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Corporate Bonds & Notes |
$438,825,368 | $- | $438,825,368 | $- | |||||||||||||
Short-Term Investments |
9,072,686 | 9,072,686 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$447,898,054 | $9,072,686 | $438,825,368 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
191
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Principal Amount |
Value |
|||||||
CORPORATE BONDS & NOTES - 26.0% |
| |||||||
Basic Materials - 0.6% |
| |||||||
Air Products & Chemicals, Inc. |
||||||||
3.350% due 07/31/24 |
$100,000 | $98,420 | ||||||
4.800% due 03/03/33 |
100,000 | 102,852 | ||||||
Albemarle Corp. |
||||||||
5.050% due 06/01/32 |
100,000 | 97,753 | ||||||
5.450% due 12/01/44 |
50,000 | 47,496 | ||||||
ArcelorMittal SA (Luxembourg) |
200,000 | 208,208 | ||||||
BHP Billiton Finance USA Ltd. (Australia) |
500,000 | 506,975 | ||||||
Celanese US Holdings LLC |
||||||||
1.400% due 08/05/26 |
25,000 | 21,518 | ||||||
6.165% due 07/15/27 |
250,000 | 251,781 | ||||||
Dow Chemical Co. |
||||||||
2.100% due 11/15/30 |
250,000 | 208,742 | ||||||
3.600% due 11/15/50 |
250,000 | 187,397 | ||||||
4.250% due 10/01/34 |
141,000 | 131,278 | ||||||
4.800% due 05/15/49 |
65,000 | 57,859 | ||||||
DuPont de Nemours, Inc. |
||||||||
4.493% due 11/15/25 |
350,000 | 349,722 | ||||||
4.725% due 11/15/28 |
150,000 | 151,491 | ||||||
5.319% due 11/15/38 |
65,000 | 65,516 | ||||||
5.419% due 11/15/48 |
75,000 | 75,177 | ||||||
Eastman Chemical Co. |
||||||||
3.800% due 03/15/25 |
100,000 | 97,552 | ||||||
4.650% due 10/15/44 |
50,000 | 43,506 | ||||||
4.800% due 09/01/42 |
100,000 | 89,332 | ||||||
Ecolab, Inc. |
||||||||
1.650% due 02/01/27 |
100,000 | 90,708 | ||||||
2.125% due 02/01/32 |
100,000 | 83,564 | ||||||
2.700% due 12/15/51 |
100,000 | 66,596 | ||||||
Fibria Overseas Finance Ltd. (Brazil) |
50,000 | 50,245 | ||||||
Freeport-McMoRan, Inc. |
||||||||
4.125% due 03/01/28 |
150,000 | 141,381 | ||||||
4.625% due 08/01/30 |
100,000 | 94,573 | ||||||
5.450% due 03/15/43 |
100,000 | 93,652 | ||||||
Georgia-Pacific LLC |
100,000 | 125,939 | ||||||
Huntsman International LLC |
45,000 | 42,300 | ||||||
International Paper Co. |
||||||||
4.350% due 08/15/48 |
54,000 | 46,917 | ||||||
6.000% due 11/15/41 |
200,000 | 208,498 | ||||||
Linde, Inc. |
||||||||
1.100% due 08/10/30 |
50,000 | 39,941 | ||||||
2.000% due 08/10/50 |
30,000 | 17,863 | ||||||
4.700% due 12/05/25 |
100,000 | 100,594 | ||||||
LYB International Finance III LLC |
||||||||
1.250% due 10/01/25 |
20,000 | 18,129 | ||||||
2.250% due 10/01/30 |
25,000 | 20,673 | ||||||
3.375% due 10/01/40 |
30,000 | 22,250 | ||||||
3.625% due 04/01/51 |
40,000 | 28,496 | ||||||
3.800% due 10/01/60 |
30,000 | 20,640 | ||||||
4.200% due 05/01/50 |
300,000 | 235,059 | ||||||
LyondellBasell Industries NV |
75,000 | 61,429 | ||||||
Mosaic Co. |
163,000 | 164,040 | ||||||
NewMarket Corp. |
100,000 | 83,309 | ||||||
Newmont Corp. |
||||||||
2.250% due 10/01/30 |
65,000 | 54,635 | ||||||
2.600% due 07/15/32 |
100,000 | 83,753 | ||||||
5.875% due 04/01/35 |
100,000 | 105,690 |
Principal |
Value |
|||||||
Nucor Corp. |
||||||||
2.000% due 06/01/25 |
$250,000 | $235,264 | ||||||
2.979% due 12/15/55 |
25,000 | 16,689 | ||||||
Nutrien Ltd. (Canada) |
||||||||
2.950% due 05/13/30 |
50,000 | 44,051 | ||||||
4.200% due 04/01/29 |
55,000 | 53,041 | ||||||
5.250% due 01/15/45 |
139,000 | 132,311 | ||||||
5.950% due 11/07/25 |
35,000 | 36,016 | ||||||
PPG Industries, Inc. |
||||||||
1.200% due 03/15/26 |
70,000 | 62,799 | ||||||
2.800% due 08/15/29 |
50,000 | 44,522 | ||||||
Reliance Steel & Aluminum Co. |
40,000 | 36,775 | ||||||
Rio Tinto Finance USA Ltd. (Australia) |
||||||||
2.750% due 11/02/51 |
50,000 | 34,544 | ||||||
7.125% due 07/15/28 |
50,000 | 56,384 | ||||||
Rio Tinto Finance USA PLC (Australia) |
200,000 | 195,613 | ||||||
RPM International, Inc. |
50,000 | 45,707 | ||||||
Sherwin-Williams Co. |
||||||||
3.125% due 06/01/24 |
25,000 | 24,451 | ||||||
3.450% due 06/01/27 |
60,000 | 57,438 | ||||||
3.950% due 01/15/26 |
150,000 | 146,105 | ||||||
4.000% due 12/15/42 |
50,000 | 41,203 | ||||||
4.500% due 06/01/47 |
29,000 | 25,609 | ||||||
Southern Copper Corp. (Mexico) |
||||||||
5.250% due 11/08/42 |
150,000 | 143,715 | ||||||
7.500% due 07/27/35 |
50,000 | 58,292 | ||||||
Steel Dynamics, Inc. |
||||||||
1.650% due 10/15/27 |
10,000 | 8,592 | ||||||
2.400% due 06/15/25 |
15,000 | 14,160 | ||||||
3.250% due 01/15/31 |
40,000 | 35,633 | ||||||
3.250% due 10/15/50 |
20,000 | 14,001 | ||||||
Suzano Austria GmbH (Brazil) |
||||||||
2.500% due 09/15/28 |
40,000 | 34,080 | ||||||
3.125% due 01/15/32 |
40,000 | 32,761 | ||||||
3.750% due 01/15/31 |
125,000 | 108,878 | ||||||
Teck Resources Ltd. (Canada) |
250,000 | 229,871 | ||||||
Vale Overseas Ltd. (Brazil) |
150,000 | 156,936 | ||||||
Westlake Corp. |
100,000 | 80,174 | ||||||
|
|
|||||||
7,099,064 | ||||||||
|
|
|||||||
Communications - 2.4% |
| |||||||
Alibaba Group Holding Ltd. (China) |
||||||||
2.700% due 02/09/41 |
350,000 | 235,393 | ||||||
3.600% due 11/28/24 |
200,000 | 195,566 | ||||||
Alphabet, Inc. |
||||||||
0.800% due 08/15/27 |
150,000 | 131,603 | ||||||
1.900% due 08/15/40 |
150,000 | 105,271 | ||||||
1.998% due 08/15/26 |
200,000 | 187,448 | ||||||
2.250% due 08/15/60 |
150,000 | 92,632 | ||||||
Amazon.com, Inc. |
||||||||
0.450% due 05/12/24 |
45,000 | 43,140 | ||||||
0.800% due 06/03/25 |
565,000 | 525,905 | ||||||
1.000% due 05/12/26 |
100,000 | 90,711 | ||||||
1.500% due 06/03/30 |
85,000 | 70,702 | ||||||
1.650% due 05/12/28 |
100,000 | 88,704 | ||||||
2.100% due 05/12/31 |
100,000 | 85,521 | ||||||
2.500% due 06/03/50 |
40,000 | 27,146 | ||||||
2.700% due 06/03/60 |
300,000 | 197,257 | ||||||
2.875% due 05/12/41 |
100,000 | 78,843 | ||||||
3.000% due 04/13/25 |
400,000 | 390,306 | ||||||
3.100% due 05/12/51 |
100,000 | 75,852 | ||||||
3.250% due 05/12/61 |
100,000 | 73,808 | ||||||
3.300% due 04/13/27 |
150,000 | 145,242 | ||||||
3.600% due 04/13/32 |
200,000 | 190,109 | ||||||
3.875% due 08/22/37 |
195,000 | 181,637 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
192
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
3.950% due 04/13/52 |
$150,000 | $133,297 | ||||||
4.050% due 08/22/47 |
70,000 | 63,597 | ||||||
4.100% due 04/13/62 |
100,000 | 88,140 | ||||||
4.250% due 08/22/57 |
100,000 | 91,236 | ||||||
4.550% due 12/01/27 |
100,000 | 101,564 | ||||||
4.600% due 12/01/25 |
100,000 | 100,867 | ||||||
4.650% due 12/01/29 |
500,000 | 510,988 | ||||||
4.700% due 12/01/32 |
100,000 | 102,573 | ||||||
5.200% due 12/03/25 |
50,000 | 50,954 | ||||||
America Movil SAB de CV (Mexico) |
||||||||
2.875% due 05/07/30 |
200,000 | 176,577 | ||||||
6.375% due 03/01/35 |
125,000 | 137,600 | ||||||
AT&T, Inc. |
||||||||
1.650% due 02/01/28 |
300,000 | 263,666 | ||||||
2.250% due 02/01/32 |
165,000 | 134,962 | ||||||
2.550% due 12/01/33 |
250,000 | 201,228 | ||||||
2.750% due 06/01/31 |
100,000 | 86,221 | ||||||
3.500% due 06/01/41 |
200,000 | 158,012 | ||||||
3.500% due 09/15/53 |
597,000 | 434,197 | ||||||
3.550% due 09/15/55 |
433,000 | 311,359 | ||||||
3.650% due 06/01/51 |
350,000 | 265,503 | ||||||
3.650% due 09/15/59 |
121,000 | 86,619 | ||||||
3.800% due 12/01/57 |
200,000 | 148,821 | ||||||
3.850% due 06/01/60 |
45,000 | 33,783 | ||||||
4.250% due 03/01/27 |
100,000 | 99,270 | ||||||
4.300% due 12/15/42 |
393,000 | 342,353 | ||||||
4.350% due 03/01/29 |
150,000 | 146,930 | ||||||
4.350% due 06/15/45 |
177,000 | 151,835 | ||||||
4.500% due 05/15/35 |
90,000 | 84,351 | ||||||
4.550% due 03/09/49 |
100,000 | 87,373 | ||||||
4.850% due 03/01/39 |
70,000 | 65,774 | ||||||
5.350% due 09/01/40 |
161,000 | 159,847 | ||||||
5.539% due 02/20/26 |
300,000 | 300,993 | ||||||
Baidu, Inc. (China) |
||||||||
1.625% due 02/23/27 |
200,000 | 176,747 | ||||||
2.375% due 08/23/31 |
200,000 | 163,617 | ||||||
Bell Telephone Co. of Canada or Bell Canada (Canada) |
||||||||
2.150% due 02/15/32 |
40,000 | 32,768 | ||||||
3.200% due 02/15/52 |
20,000 | 14,078 | ||||||
3.650% due 08/15/52 |
70,000 | 54,207 | ||||||
4.464% due 04/01/48 |
65,000 | 57,232 | ||||||
Booking Holdings, Inc. |
||||||||
3.600% due 06/01/26 |
50,000 | 48,792 | ||||||
4.625% due 04/13/30 |
200,000 | 199,950 | ||||||
British Telecommunications PLC (United Kingdom) |
||||||||
5.125% due 12/04/28 |
200,000 | 202,026 | ||||||
9.625% due 12/15/30 |
50,000 | 62,367 | ||||||
Charter Communications Operating LLC/Charter Communications Operating Capital |
||||||||
3.500% due 06/01/41 |
60,000 | 41,226 | ||||||
3.750% due 02/15/28 |
100,000 | 92,939 | ||||||
3.850% due 04/01/61 |
335,000 | 209,294 | ||||||
3.900% due 06/01/52 |
175,000 | 115,891 | ||||||
4.200% due 03/15/28 |
200,000 | 189,409 | ||||||
4.400% due 12/01/61 |
100,000 | 68,434 | ||||||
4.800% due 03/01/50 |
350,000 | 267,116 | ||||||
4.908% due 07/23/25 |
150,000 | 148,564 | ||||||
5.125% due 07/01/49 |
100,000 | 79,259 | ||||||
5.375% due 05/01/47 |
50,000 | 41,302 | ||||||
6.384% due 10/23/35 |
70,000 | 69,799 | ||||||
6.484% due 10/23/45 |
165,000 | 156,499 | ||||||
6.834% due 10/23/55 |
50,000 | 48,651 | ||||||
Cisco Systems, Inc. |
50,000 | 48,389 | ||||||
Comcast Corp. |
||||||||
1.500% due 02/15/31 |
700,000 | 562,429 | ||||||
1.950% due 01/15/31 |
140,000 | 116,562 | ||||||
2.350% due 01/15/27 |
40,000 | 37,284 | ||||||
2.450% due 08/15/52 |
100,000 | 62,580 | ||||||
2.800% due 01/15/51 |
55,000 | 37,204 | ||||||
2.987% due 11/01/63 |
101,000 | 65,607 | ||||||
3.300% due 02/01/27 |
100,000 | 96,511 | ||||||
3.400% due 07/15/46 |
55,000 | 42,727 |
Principal |
Value |
|||||||
3.700% due 04/15/24 |
$85,000 | $84,007 | ||||||
3.750% due 04/01/40 |
155,000 | 133,264 | ||||||
3.950% due 10/15/25 |
350,000 | 346,213 | ||||||
3.999% due 11/01/49 |
211,000 | 177,500 | ||||||
4.000% due 08/15/47 |
100,000 | 84,950 | ||||||
4.049% due 11/01/52 |
97,000 | 81,770 | ||||||
4.150% due 10/15/28 |
95,000 | 94,023 | ||||||
4.250% due 10/15/30 |
420,000 | 411,755 | ||||||
4.400% due 08/15/35 |
77,000 | 74,552 | ||||||
4.600% due 10/15/38 |
85,000 | 82,364 | ||||||
4.700% due 10/15/48 |
325,000 | 308,009 | ||||||
4.750% due 03/01/44 |
300,000 | 284,922 | ||||||
4.950% due 10/15/58 |
80,000 | 77,587 | ||||||
5.350% due 11/15/27 |
65,000 | 67,715 | ||||||
Corning, Inc. |
||||||||
4.375% due 11/15/57 |
100,000 | 84,753 | ||||||
4.700% due 03/15/37 |
50,000 | 47,858 | ||||||
5.350% due 11/15/48 |
100,000 | 98,578 | ||||||
Deutsche Telekom International Finance BV (Germany) |
185,000 | 226,191 | ||||||
Discovery Communications LLC |
||||||||
3.450% due 03/15/25 |
100,000 | 96,113 | ||||||
3.625% due 05/15/30 |
250,000 | 221,875 | ||||||
3.950% due 03/20/28 |
60,000 | 56,303 | ||||||
4.000% due 09/15/55 |
118,000 | 78,413 | ||||||
5.200% due 09/20/47 |
30,000 | 24,888 | ||||||
eBay, Inc. |
||||||||
1.900% due 03/11/25 |
50,000 | 47,301 | ||||||
2.700% due 03/11/30 |
100,000 | 87,690 | ||||||
3.600% due 06/05/27 |
50,000 | 47,729 | ||||||
5.900% due 11/22/25 |
70,000 | 71,933 | ||||||
Expedia Group, Inc. |
50,000 | 47,407 | ||||||
Fox Corp. |
||||||||
3.050% due 04/07/25 |
150,000 | 144,328 | ||||||
5.576% due 01/25/49 |
200,000 | 191,380 | ||||||
Interpublic Group of Cos., Inc. |
||||||||
2.400% due 03/01/31 |
100,000 | 83,078 | ||||||
3.375% due 03/01/41 |
70,000 | 52,780 | ||||||
JD.com, Inc. (China) |
200,000 | 155,000 | ||||||
Juniper Networks, Inc. |
100,000 | 92,756 | ||||||
Meta Platforms, Inc. |
||||||||
3.500% due 08/15/27 |
200,000 | 193,257 | ||||||
3.850% due 08/15/32 |
200,000 | 187,330 | ||||||
4.450% due 08/15/52 |
200,000 | 176,177 | ||||||
4.650% due 08/15/62 |
200,000 | 176,956 | ||||||
Motorola Solutions, Inc. |
||||||||
2.750% due 05/24/31 |
100,000 | 82,645 | ||||||
4.600% due 02/23/28 |
100,000 | 98,745 | ||||||
Omnicom Group, Inc. |
100,000 | 84,994 | ||||||
Omnicom Group, Inc./Omnicom Capital, Inc. |
50,000 | 48,558 | ||||||
Orange SA (France) |
||||||||
5.375% due 01/13/42 |
150,000 | 154,223 | ||||||
9.000% due 03/01/31 |
50,000 | 62,804 | ||||||
Paramount Global |
||||||||
2.900% due 01/15/27 |
50,000 | 45,595 | ||||||
3.375% due 02/15/28 |
55,000 | 49,867 | ||||||
4.200% due 05/19/32 |
300,000 | 257,523 | ||||||
4.375% due 03/15/43 |
70,000 | 49,806 | ||||||
5.900% due 10/15/40 |
50,000 | 44,522 | ||||||
6.875% due 04/30/36 |
100,000 | 101,722 | ||||||
7.875% due 07/30/30 |
100,000 | 109,516 | ||||||
Rogers Communications, Inc. (Canada) |
||||||||
3.200% due 03/15/27 ~ |
65,000 | 61,203 | ||||||
3.800% due 03/15/32 ~ |
65,000 | 58,396 | ||||||
4.300% due 02/15/48 |
85,000 | 68,080 | ||||||
4.350% due 05/01/49 |
75,000 | 60,826 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
193
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
4.500% due 03/15/43 |
$25,000 | $21,157 | ||||||
4.550% due 03/15/52 ~ |
100,000 | 82,341 | ||||||
5.000% due 03/15/44 |
100,000 | 90,324 | ||||||
T-Mobile USA, Inc. |
||||||||
2.250% due 11/15/31 |
50,000 | 40,968 | ||||||
2.400% due 03/15/29 |
25,000 | 21,792 | ||||||
2.550% due 02/15/31 |
300,000 | 254,405 | ||||||
2.700% due 03/15/32 |
55,000 | 46,362 | ||||||
3.000% due 02/15/41 |
20,000 | 14,844 | ||||||
3.300% due 02/15/51 |
50,000 | 35,609 | ||||||
3.400% due 10/15/52 |
150,000 | 108,146 | ||||||
3.500% due 04/15/25 |
200,000 | 194,517 | ||||||
3.600% due 11/15/60 |
220,000 | 157,131 | ||||||
3.750% due 04/15/27 |
500,000 | 480,955 | ||||||
3.875% due 04/15/30 |
300,000 | 281,731 | ||||||
4.500% due 04/15/50 |
200,000 | 174,349 | ||||||
4.950% due 03/15/28 |
60,000 | 60,605 | ||||||
5.050% due 07/15/33 |
160,000 | 160,870 | ||||||
5.200% due 01/15/33 |
130,000 | 132,672 | ||||||
5.650% due 01/15/53 |
65,000 | 66,649 | ||||||
5.800% due 09/15/62 |
95,000 | 98,570 | ||||||
Telefonica Emisiones SA (Spain) |
||||||||
5.213% due 03/08/47 |
150,000 | 131,399 | ||||||
7.045% due 06/20/36 |
150,000 | 165,832 | ||||||
Telefonica Europe BV (Spain) |
250,000 | 293,171 | ||||||
TELUS Corp. (Canada) |
||||||||
3.400% due 05/13/32 |
50,000 | 43,833 | ||||||
4.600% due 11/16/48 |
100,000 | 89,098 | ||||||
Thomson Reuters Corp. (Canada) |
||||||||
5.650% due 11/23/43 |
150,000 | 144,998 | ||||||
5.850% due 04/15/40 |
25,000 | 24,905 | ||||||
Time Warner Cable LLC |
||||||||
5.875% due 11/15/40 |
150,000 | 136,119 | ||||||
6.550% due 05/01/37 |
100,000 | 98,666 | ||||||
6.750% due 06/15/39 |
50,000 | 49,299 | ||||||
7.300% due 07/01/38 |
150,000 | 155,802 | ||||||
VeriSign, Inc. |
80,000 | 67,882 | ||||||
Verizon Communications, Inc. |
||||||||
0.850% due 11/20/25 |
100,000 | 91,077 | ||||||
1.450% due 03/20/26 |
40,000 | 36,821 | ||||||
1.500% due 09/18/30 |
90,000 | 72,914 | ||||||
1.750% due 01/20/31 |
100,000 | 80,703 | ||||||
2.100% due 03/22/28 |
60,000 | 53,472 | ||||||
2.355% due 03/15/32 |
500,000 | 410,440 | ||||||
2.550% due 03/21/31 |
140,000 | 119,325 | ||||||
2.650% due 11/20/40 |
450,000 | 321,665 | ||||||
2.850% due 09/03/41 |
45,000 | 32,997 | ||||||
2.875% due 11/20/50 |
100,000 | 66,614 | ||||||
2.987% due 10/30/56 |
383,000 | 249,472 | ||||||
3.000% due 11/20/60 |
90,000 | 57,821 | ||||||
3.150% due 03/22/30 |
500,000 | 455,725 | ||||||
3.376% due 02/15/25 |
200,000 | 195,994 | ||||||
3.400% due 03/22/41 |
580,000 | 461,696 | ||||||
3.550% due 03/22/51 |
55,000 | 42,031 | ||||||
3.700% due 03/22/61 |
45,000 | 33,629 | ||||||
4.000% due 03/22/50 |
250,000 | 208,439 | ||||||
4.125% due 03/16/27 |
300,000 | 297,546 | ||||||
4.272% due 01/15/36 |
57,000 | 52,908 | ||||||
4.329% due 09/21/28 |
250,000 | 247,254 | ||||||
Vodafone Group PLC (United Kingdom) |
||||||||
5.125% due 06/19/59 |
100,000 | 91,498 | ||||||
5.625% due 02/10/53 |
175,000 | 173,037 | ||||||
6.150% due 02/27/37 |
150,000 | 160,584 | ||||||
7.875% due 02/15/30 |
50,000 | 58,401 | ||||||
Walt Disney Co. |
||||||||
1.750% due 08/30/24 |
50,000 | 48,143 | ||||||
1.750% due 01/13/26 |
70,000 | 65,646 | ||||||
2.000% due 09/01/29 |
35,000 | 30,395 | ||||||
2.650% due 01/13/31 |
310,000 | 274,043 | ||||||
2.750% due 09/01/49 |
45,000 | 31,340 |
Principal |
Value |
|||||||
3.350% due 03/24/25 |
$350,000 | $343,952 | ||||||
3.375% due 11/15/26 |
200,000 | 194,312 | ||||||
3.600% due 01/13/51 |
200,000 | 162,706 | ||||||
4.700% due 03/23/50 |
200,000 | 195,715 | ||||||
5.400% due 10/01/43 |
100,000 | 105,497 | ||||||
6.400% due 12/15/35 |
39,000 | 44,886 | ||||||
6.650% due 11/15/37 |
150,000 | 178,157 | ||||||
Weibo Corp. (China) |
200,000 | 162,834 | ||||||
|
|
|||||||
28,215,166 | ||||||||
|
|
|||||||
Consumer, Cyclical - 1.5% |
| |||||||
Advance Auto Parts, Inc. |
20,000 | 17,285 | ||||||
American Airlines Pass-Through Trust Class AA |
107,925 | 97,046 | ||||||
American Honda Finance Corp. |
||||||||
0.750% due 08/09/24 |
65,000 | 61,596 | ||||||
1.200% due 07/08/25 |
50,000 | 46,364 | ||||||
1.500% due 01/13/25 |
150,000 | 142,005 | ||||||
2.000% due 03/24/28 |
45,000 | 39,969 | ||||||
2.250% due 01/12/29 |
150,000 | 132,561 | ||||||
Aptiv PLC |
||||||||
3.100% due 12/01/51 |
200,000 | 127,017 | ||||||
4.400% due 10/01/46 |
100,000 | 79,097 | ||||||
AutoNation, Inc. |
100,000 | 97,809 | ||||||
AutoZone, Inc. |
||||||||
1.650% due 01/15/31 |
85,000 | 67,730 | ||||||
3.750% due 06/01/27 |
100,000 | 96,812 | ||||||
4.750% due 02/01/33 |
65,000 | 64,262 | ||||||
Best Buy Co., Inc. |
50,000 | 49,414 | ||||||
BorgWarner, Inc. |
25,000 | 22,931 | ||||||
Choice Hotels International, Inc. |
25,000 | 22,475 | ||||||
Continental Airlines Pass-Through Trust Class A |
16,561 | 16,016 | ||||||
Costco Wholesale Corp. |
||||||||
1.375% due 06/20/27 |
200,000 | 179,431 | ||||||
1.750% due 04/20/32 |
200,000 | 164,568 | ||||||
Cummins, Inc. |
||||||||
0.750% due 09/01/25 |
35,000 | 31,990 | ||||||
1.500% due 09/01/30 |
100,000 | 81,877 | ||||||
2.600% due 09/01/50 |
100,000 | 65,352 | ||||||
Darden Restaurants, Inc. |
130,000 | 125,860 | ||||||
Delta Air Lines Pass- Through Trust Class AA |
||||||||
2.000% due 06/10/28 |
42,526 | 37,476 | ||||||
3.204% due 04/25/24 |
25,000 | 24,490 | ||||||
Dicks Sporting Goods, Inc. |
300,000 | 246,747 | ||||||
Dollar General Corp. |
||||||||
3.875% due 04/15/27 |
50,000 | 48,802 | ||||||
4.150% due 11/01/25 |
25,000 | 24,564 | ||||||
Dollar Tree, Inc. |
||||||||
2.650% due 12/01/31 |
100,000 | 83,856 | ||||||
4.200% due 05/15/28 |
45,000 | 43,846 | ||||||
DR Horton, Inc. |
85,000 | 75,073 | ||||||
General Motors Co. |
||||||||
4.200% due 10/01/27 |
50,000 | 48,022 | ||||||
5.400% due 10/15/29 |
250,000 | 247,990 | ||||||
5.400% due 04/01/48 |
50,000 | 42,999 | ||||||
6.125% due 10/01/25 |
250,000 | 254,875 | ||||||
6.250% due 10/02/43 |
100,000 | 96,266 | ||||||
6.750% due 04/01/46 |
25,000 | 25,321 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
194
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
General Motors Financial Co., Inc. |
||||||||
1.250% due 01/08/26 |
$500,000 | $450,445 | ||||||
2.700% due 06/10/31 |
100,000 | 80,190 | ||||||
3.500% due 11/07/24 |
100,000 | 97,471 | ||||||
3.600% due 06/21/30 |
350,000 | 306,931 | ||||||
3.950% due 04/13/24 |
100,000 | 98,552 | ||||||
4.000% due 10/06/26 |
50,000 | 47,874 | ||||||
4.300% due 04/06/29 |
100,000 | 93,040 | ||||||
5.000% due 04/09/27 |
60,000 | 59,332 | ||||||
Hasbro, Inc. |
||||||||
3.500% due 09/15/27 |
30,000 | 28,297 | ||||||
3.900% due 11/19/29 |
100,000 | 91,121 | ||||||
Home Depot, Inc. |
||||||||
1.375% due 03/15/31 |
300,000 | 240,215 | ||||||
2.125% due 09/15/26 |
100,000 | 93,817 | ||||||
2.375% due 03/15/51 |
200,000 | 126,056 | ||||||
2.700% due 04/15/30 |
300,000 | 270,998 | ||||||
3.000% due 04/01/26 |
25,000 | 24,250 | ||||||
3.250% due 04/15/32 |
65,000 | 59,365 | ||||||
3.350% due 09/15/25 |
45,000 | 44,040 | ||||||
3.500% due 09/15/56 |
55,000 | 42,973 | ||||||
3.625% due 04/15/52 |
250,000 | 201,536 | ||||||
3.900% due 12/06/28 |
40,000 | 39,425 | ||||||
4.200% due 04/01/43 |
300,000 | 271,987 | ||||||
4.500% due 12/06/48 |
100,000 | 94,267 | ||||||
5.875% due 12/16/36 |
75,000 | 83,690 | ||||||
Honda Motor Co. Ltd. (Japan) |
250,000 | 239,071 | ||||||
Hyatt Hotels Corp. |
25,000 | 24,869 | ||||||
JetBlue Pass-Through Trust |
13,037 | 11,984 | ||||||
Lear Corp. |
||||||||
2.600% due 01/15/32 |
100,000 | 78,374 | ||||||
3.550% due 01/15/52 |
100,000 | 65,795 | ||||||
Leggett & Platt, Inc. |
50,000 | 49,153 | ||||||
Lowes Cos., Inc. |
||||||||
1.300% due 04/15/28 |
20,000 | 17,192 | ||||||
1.700% due 09/15/28 |
25,000 | 21,639 | ||||||
1.700% due 10/15/30 |
20,000 | 16,181 | ||||||
2.625% due 04/01/31 |
100,000 | 85,518 | ||||||
2.800% due 09/15/41 |
50,000 | 35,501 | ||||||
3.000% due 10/15/50 |
15,000 | 9,976 | ||||||
3.500% due 04/01/51 |
50,000 | 35,839 | ||||||
3.650% due 04/05/29 |
35,000 | 33,153 | ||||||
3.700% due 04/15/46 |
250,000 | 191,495 | ||||||
3.750% due 04/01/32 |
200,000 | 184,894 | ||||||
4.250% due 04/01/52 |
50,000 | 41,080 | ||||||
4.450% due 04/01/62 |
250,000 | 204,364 | ||||||
4.500% due 04/15/30 |
250,000 | 247,168 | ||||||
5.150% due 07/01/33 |
300,000 | 302,990 | ||||||
Magna International, Inc. (Canada) |
||||||||
4.150% due 10/01/25 |
25,000 | 24,480 | ||||||
5.980% due 03/21/26 |
200,000 | 201,757 | ||||||
Marriott International, Inc. |
||||||||
2.750% due 10/15/33 |
150,000 | 121,547 | ||||||
3.125% due 06/15/26 |
200,000 | 189,076 | ||||||
3.500% due 10/15/32 |
40,000 | 35,096 | ||||||
McDonalds Corp. |
||||||||
3.375% due 05/26/25 |
100,000 | 97,780 | ||||||
3.500% due 03/01/27 |
50,000 | 48,503 | ||||||
3.500% due 07/01/27 |
300,000 | 290,749 | ||||||
3.600% due 07/01/30 |
100,000 | 94,918 | ||||||
3.700% due 02/15/42 |
200,000 | 165,770 | ||||||
3.800% due 04/01/28 |
25,000 | 24,550 | ||||||
4.200% due 04/01/50 |
150,000 | 132,463 | ||||||
4.450% due 09/01/48 |
10,000 | 9,297 | ||||||
4.875% due 07/15/40 |
10,000 | 9,748 | ||||||
Mercedes-Benz Finance North America LLC (Germany) |
50,000 | 63,350 | ||||||
NIKE, Inc. |
Principal |
Value |
|||||||
2.850% due 03/27/30 |
$350,000 | $321,888 | ||||||
3.375% due 11/01/46 |
200,000 | 164,937 | ||||||
3.625% due 05/01/43 |
25,000 | 21,637 | ||||||
OReilly Automotive, Inc. |
||||||||
4.350% due 06/01/28 |
100,000 | 99,166 | ||||||
4.700% due 06/15/32 |
50,000 | 49,383 | ||||||
PACCAR Financial Corp. |
||||||||
1.100% due 05/11/26 |
70,000 | 63,335 | ||||||
2.000% due 02/04/27 |
70,000 | 64,238 | ||||||
3.150% due 06/13/24 |
30,000 | 29,421 | ||||||
3.550% due 08/11/25 |
100,000 | 97,759 | ||||||
PulteGroup, Inc. |
200,000 | 200,703 | ||||||
Ralph Lauren Corp. |
50,000 | 48,958 | ||||||
Ross Stores, Inc. |
||||||||
0.875% due 04/15/26 |
100,000 | 89,041 | ||||||
1.875% due 04/15/31 |
100,000 | 80,742 | ||||||
Southwest Airlines Co. |
180,000 | 179,967 | ||||||
Starbucks Corp. |
||||||||
2.450% due 06/15/26 |
50,000 | 46,966 | ||||||
3.500% due 03/01/28 |
100,000 | 95,581 | ||||||
3.500% due 11/15/50 |
200,000 | 155,444 | ||||||
3.550% due 08/15/29 |
100,000 | 95,284 | ||||||
3.750% due 12/01/47 |
35,000 | 28,207 | ||||||
4.300% due 06/15/45 |
35,000 | 31,231 | ||||||
4.450% due 08/15/49 |
100,000 | 90,252 | ||||||
4.800% due 02/15/33 |
70,000 | 70,691 | ||||||
Tapestry, Inc. |
23,000 | 21,973 | ||||||
Target Corp. |
||||||||
1.950% due 01/15/27 |
250,000 | 231,289 | ||||||
2.250% due 04/15/25 |
150,000 | 144,181 | ||||||
2.950% due 01/15/52 |
200,000 | 144,824 | ||||||
3.375% due 04/15/29 |
100,000 | 95,791 | ||||||
4.800% due 01/15/53 |
35,000 | 34,420 | ||||||
Toyota Motor Credit Corp. |
||||||||
0.500% due 06/18/24 |
200,000 | 190,404 | ||||||
0.800% due 10/16/25 |
50,000 | 45,615 | ||||||
1.125% due 06/18/26 |
200,000 | 180,462 | ||||||
1.150% due 08/13/27 |
120,000 | 104,807 | ||||||
1.800% due 02/13/25 |
50,000 | 47,584 | ||||||
1.900% due 04/06/28 |
100,000 | 89,038 | ||||||
2.150% due 02/13/30 |
100,000 | 87,820 | ||||||
3.050% due 03/22/27 |
200,000 | 189,905 | ||||||
3.200% due 01/11/27 |
100,000 | 95,804 | ||||||
3.950% due 06/30/25 |
175,000 | 172,914 | ||||||
4.700% due 01/12/33 |
300,000 | 305,520 | ||||||
United Airlines Pass-Through Trust Class A |
||||||||
2.700% due 05/01/32 |
221,131 | 186,850 | ||||||
4.000% due 04/11/26 |
62,984 | 59,467 | ||||||
5.875% due 10/15/27 |
67,908 | 67,794 | ||||||
United Airlines Pass-Through Trust Class AA |
||||||||
2.875% due 10/07/28 |
110,354 | 98,487 | ||||||
3.100% due 07/07/28 |
35,489 | 32,030 | ||||||
Walgreens Boots Alliance, Inc. |
30,000 | 28,664 | ||||||
Walmart, Inc. |
||||||||
1.050% due 09/17/26 |
150,000 | 135,317 | ||||||
1.800% due 09/22/31 |
300,000 | 253,918 | ||||||
2.500% due 09/22/41 |
250,000 | 189,328 | ||||||
2.650% due 12/15/24 |
100,000 | 97,391 | ||||||
2.650% due 09/22/51 |
200,000 | 145,218 | ||||||
2.850% due 07/08/24 |
90,000 | 88,026 | ||||||
3.050% due 07/08/26 |
65,000 | 62,999 | ||||||
3.250% due 07/08/29 |
80,000 | 76,314 | ||||||
3.300% due 04/22/24 |
300,000 | 296,334 | ||||||
Warnermedia Holdings, Inc. |
||||||||
3.638% due 03/15/25 ~ |
300,000 | 289,983 | ||||||
4.279% due 03/15/32 ~ |
300,000 | 268,056 | ||||||
5.050% due 03/15/42 ~ |
300,000 | 251,201 | ||||||
5.141% due 03/15/52 ~ |
400,000 | 324,538 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
195
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Whirlpool Corp. |
||||||||
2.400% due 05/15/31 |
$5,000 | $4,096 | ||||||
4.600% due 05/15/50 |
50,000 | 41,723 | ||||||
4.700% due 05/14/32 |
30,000 | 28,812 | ||||||
4.750% due 02/26/29 |
60,000 | 59,402 | ||||||
WW Grainger, Inc. |
||||||||
1.850% due 02/15/25 |
25,000 | 23,774 | ||||||
3.750% due 05/15/46 |
50,000 | 41,586 | ||||||
4.600% due 06/15/45 |
20,000 | 19,072 | ||||||
|
|
|||||||
16,958,548 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 4.4% |
| |||||||
Abbott Laboratories |
||||||||
2.950% due 03/15/25 |
100,000 | 97,749 | ||||||
3.750% due 11/30/26 |
227,000 | 225,531 | ||||||
4.750% due 11/30/36 |
100,000 | 103,977 | ||||||
4.900% due 11/30/46 |
100,000 | 102,969 | ||||||
6.150% due 11/30/37 |
25,000 | 28,943 | ||||||
AbbVie, Inc. |
||||||||
2.600% due 11/21/24 |
80,000 | 77,238 | ||||||
2.950% due 11/21/26 |
455,000 | 433,220 | ||||||
3.200% due 05/14/26 |
100,000 | 96,611 | ||||||
3.200% due 11/21/29 |
175,000 | 162,471 | ||||||
3.600% due 05/14/25 |
175,000 | 171,732 | ||||||
3.800% due 03/15/25 |
70,000 | 68,892 | ||||||
4.050% due 11/21/39 |
70,000 | 62,618 | ||||||
4.250% due 11/21/49 |
300,000 | 265,013 | ||||||
4.300% due 05/14/36 |
50,000 | 47,034 | ||||||
4.400% due 11/06/42 |
125,000 | 114,341 | ||||||
4.500% due 05/14/35 |
160,000 | 155,185 | ||||||
4.625% due 10/01/42 |
100,000 | 91,927 | ||||||
4.700% due 05/14/45 |
50,000 | 46,889 | ||||||
4.750% due 03/15/45 |
330,000 | 311,672 | ||||||
Adventist Health System |
15,000 | 11,190 | ||||||
Advocate Health & Hospitals Corp. |
50,000 | 37,703 | ||||||
Aetna, Inc. |
||||||||
3.500% due 11/15/24 |
100,000 | 97,651 | ||||||
3.875% due 08/15/47 |
30,000 | 23,853 | ||||||
4.125% due 11/15/42 |
100,000 | 84,665 | ||||||
Altria Group, Inc. |
||||||||
2.350% due 05/06/25 |
75,000 | 71,246 | ||||||
3.400% due 05/06/30 |
50,000 | 44,500 | ||||||
3.400% due 02/04/41 |
250,000 | 177,063 | ||||||
4.400% due 02/14/26 |
13,000 | 12,907 | ||||||
4.450% due 05/06/50 |
75,000 | 56,061 | ||||||
4.500% due 05/02/43 |
100,000 | 80,119 | ||||||
4.800% due 02/14/29 |
300,000 | 297,804 | ||||||
5.800% due 02/14/39 |
65,000 | 63,557 | ||||||
5.950% due 02/14/49 |
75,000 | 71,068 | ||||||
AmerisourceBergen Corp. |
||||||||
3.400% due 05/15/24 |
100,000 | 98,063 | ||||||
3.450% due 12/15/27 |
50,000 | 47,369 | ||||||
Amgen, Inc. |
||||||||
1.900% due 02/21/25 |
35,000 | 33,168 | ||||||
2.200% due 02/21/27 |
35,000 | 32,272 | ||||||
2.300% due 02/25/31 |
200,000 | 168,409 | ||||||
2.450% due 02/21/30 |
50,000 | 43,612 | ||||||
2.770% due 09/01/53 |
311,000 | 199,202 | ||||||
3.200% due 11/02/27 |
50,000 | 47,300 | ||||||
3.350% due 02/22/32 |
145,000 | 130,958 | ||||||
3.375% due 02/21/50 |
250,000 | 188,176 | ||||||
3.625% due 05/22/24 |
100,000 | 98,618 | ||||||
4.200% due 03/01/33 |
200,000 | 191,824 | ||||||
4.400% due 05/01/45 |
100,000 | 88,370 | ||||||
5.150% due 03/02/28 |
100,000 | 102,155 | ||||||
5.150% due 11/15/41 |
174,000 | 169,335 | ||||||
5.250% due 03/02/25 |
35,000 | 35,403 | ||||||
5.250% due 03/02/30 |
100,000 | 102,313 |
Principal |
Value |
|||||||
5.250% due 03/02/33 |
$290,000 | $298,104 | ||||||
5.507% due 03/02/26 |
40,000 | 40,172 | ||||||
5.600% due 03/02/43 |
45,000 | 46,397 | ||||||
5.650% due 03/02/53 |
280,000 | 291,681 | ||||||
5.750% due 03/02/63 |
395,000 | 410,335 | ||||||
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium) |
||||||||
3.650% due 02/01/26 |
750,000 | 736,598 | ||||||
4.700% due 02/01/36 |
525,000 | 523,145 | ||||||
4.900% due 02/01/46 |
750,000 | 733,908 | ||||||
Anheuser-Busch InBev Finance, Inc. (Belgium) |
300,000 | 283,779 | ||||||
Anheuser-Busch InBev Worldwide, Inc. (Belgium) |
||||||||
3.500% due 06/01/30 |
350,000 | 330,206 | ||||||
4.000% due 04/13/28 |
80,000 | 79,144 | ||||||
4.375% due 04/15/38 |
35,000 | 33,268 | ||||||
4.439% due 10/06/48 |
200,000 | 182,726 | ||||||
4.600% due 04/15/48 |
50,000 | 47,237 | ||||||
4.750% due 01/23/29 |
55,000 | 56,198 | ||||||
4.900% due 01/23/31 |
65,000 | 67,005 | ||||||
5.450% due 01/23/39 |
65,000 | 68,326 | ||||||
5.550% due 01/23/49 |
100,000 | 107,367 | ||||||
5.800% due 01/23/59 |
45,000 | 49,477 | ||||||
Archer-Daniels-Midland Co. |
||||||||
2.700% due 09/15/51 |
250,000 | 173,446 | ||||||
2.900% due 03/01/32 |
45,000 | 40,006 | ||||||
4.500% due 08/15/33 |
200,000 | 200,352 | ||||||
Ascension Health |
70,000 | 61,092 | ||||||
Astrazeneca Finance LLC (United Kingdom) |
||||||||
1.200% due 05/28/26 |
35,000 | 31,894 | ||||||
2.250% due 05/28/31 |
20,000 | 17,218 | ||||||
4.875% due 03/03/28 |
150,000 | 154,410 | ||||||
AstraZeneca PLC (United Kingdom) |
||||||||
1.375% due 08/06/30 |
300,000 | 244,696 | ||||||
3.000% due 05/28/51 |
15,000 | 11,423 | ||||||
3.125% due 06/12/27 |
100,000 | 95,410 | ||||||
3.375% due 11/16/25 |
100,000 | 97,825 | ||||||
4.000% due 09/18/42 |
25,000 | 22,808 | ||||||
4.375% due 11/16/45 |
25,000 | 24,052 | ||||||
6.450% due 09/15/37 |
100,000 | 118,073 | ||||||
Automatic Data Processing, Inc. |
||||||||
1.250% due 09/01/30 |
40,000 | 32,814 | ||||||
1.700% due 05/15/28 |
40,000 | 35,720 | ||||||
3.375% due 09/15/25 |
25,000 | 24,523 | ||||||
Avery Dennison Corp. |
||||||||
2.650% due 04/30/30 |
30,000 | 25,641 | ||||||
5.750% due 03/15/33 |
100,000 | 104,104 | ||||||
Banner Health |
||||||||
1.897% due 01/01/31 |
40,000 | 32,771 | ||||||
2.913% due 01/01/51 |
50,000 | 33,966 | ||||||
BAT Capital Corp. (United Kingdom) |
||||||||
2.259% due 03/25/28 |
325,000 | 278,877 | ||||||
2.726% due 03/25/31 |
250,000 | 202,827 | ||||||
2.789% due 09/06/24 |
35,000 | 33,760 | ||||||
3.215% due 09/06/26 |
50,000 | 47,140 | ||||||
3.222% due 08/15/24 |
100,000 | 97,024 | ||||||
3.462% due 09/06/29 |
50,000 | 44,244 | ||||||
3.557% due 08/15/27 |
100,000 | 93,028 | ||||||
4.390% due 08/15/37 |
70,000 | 57,177 | ||||||
4.700% due 04/02/27 |
200,000 | 196,447 | ||||||
4.758% due 09/06/49 |
50,000 | 38,425 | ||||||
BAT International Finance PLC (United Kingdom) |
25,000 | 22,766 | ||||||
Baxalta, Inc. |
||||||||
4.000% due 06/23/25 |
15,000 | 14,699 | ||||||
5.250% due 06/23/45 |
9,000 | 8,862 | ||||||
Baxter International, Inc. |
||||||||
1.322% due 11/29/24 |
400,000 | 376,621 | ||||||
1.915% due 02/01/27 |
100,000 | 89,551 | ||||||
2.539% due 02/01/32 |
100,000 | 81,491 | ||||||
3.950% due 04/01/30 |
150,000 | 139,956 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
196
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Baylor Scott & White Holdings |
$200,000 | $135,219 | ||||||
Becton Dickinson & Co. |
||||||||
2.823% due 05/20/30 |
70,000 | 62,499 | ||||||
3.363% due 06/06/24 |
23,000 | 22,584 | ||||||
3.734% due 12/15/24 |
36,000 | 35,215 | ||||||
3.794% due 05/20/50 |
350,000 | 284,399 | ||||||
4.669% due 06/06/47 |
50,000 | 46,797 | ||||||
Bestfoods |
200,000 | 216,353 | ||||||
Biogen, Inc. |
||||||||
2.250% due 05/01/30 |
55,000 | 46,329 | ||||||
3.150% due 05/01/50 |
440,000 | 306,803 | ||||||
Boston Scientific Corp. |
||||||||
2.650% due 06/01/30 |
350,000 | 309,452 | ||||||
4.550% due 03/01/39 |
50,000 | 47,080 | ||||||
4.700% due 03/01/49 |
70,000 | 66,635 | ||||||
Bristol-Myers Squibb Co. |
||||||||
0.750% due 11/13/25 |
50,000 | 45,697 | ||||||
1.125% due 11/13/27 |
50,000 | 43,842 | ||||||
1.450% due 11/13/30 |
280,000 | 228,634 | ||||||
2.350% due 11/13/40 |
20,000 | 14,428 | ||||||
2.550% due 11/13/50 |
30,000 | 20,102 | ||||||
2.950% due 03/15/32 |
50,000 | 45,102 | ||||||
3.200% due 06/15/26 |
50,000 | 48,353 | ||||||
3.250% due 08/01/42 |
100,000 | 80,121 | ||||||
3.400% due 07/26/29 |
118,000 | 112,309 | ||||||
3.700% due 03/15/52 |
70,000 | 58,564 | ||||||
3.900% due 02/20/28 |
100,000 | 98,171 | ||||||
3.900% due 03/15/62 |
250,000 | 207,860 | ||||||
4.125% due 06/15/39 |
35,000 | 32,632 | ||||||
4.250% due 10/26/49 |
365,000 | 331,281 | ||||||
4.350% due 11/15/47 |
50,000 | 46,547 | ||||||
Brown-Forman Corp. |
40,000 | 37,085 | ||||||
Bunge Ltd. Finance Corp. |
||||||||
2.750% due 05/14/31 |
100,000 | 85,116 | ||||||
3.250% due 08/15/26 |
20,000 | 18,978 | ||||||
3.750% due 09/25/27 |
30,000 | 28,840 | ||||||
California Institute of Technology |
20,000 | 14,085 | ||||||
Campbell Soup Co. |
||||||||
4.150% due 03/15/28 |
100,000 | 98,021 | ||||||
4.800% due 03/15/48 |
20,000 | 18,635 | ||||||
Cardinal Health, Inc. |
||||||||
3.079% due 06/15/24 |
50,000 | 48,888 | ||||||
3.410% due 06/15/27 |
100,000 | 94,857 | ||||||
3.750% due 09/15/25 |
50,000 | 48,532 | ||||||
4.368% due 06/15/47 |
50,000 | 41,632 | ||||||
4.900% due 09/15/45 |
50,000 | 45,306 | ||||||
Centene Corp. |
||||||||
3.000% due 10/15/30 |
200,000 | 168,596 | ||||||
4.625% due 12/15/29 |
200,000 | 188,228 | ||||||
Childrens Hospital of Philadelphia |
250,000 | 164,959 | ||||||
Church & Dwight Co., Inc. |
||||||||
2.300% due 12/15/31 |
40,000 | 33,597 | ||||||
5.000% due 06/15/52 |
100,000 | 99,407 | ||||||
Cigna Group |
||||||||
1.250% due 03/15/26 |
65,000 | 58,943 | ||||||
2.375% due 03/15/31 |
60,000 | 50,650 | ||||||
2.400% due 03/15/30 |
120,000 | 104,148 | ||||||
3.050% due 10/15/27 |
30,000 | 28,023 | ||||||
3.200% due 03/15/40 |
85,000 | 66,683 | ||||||
3.400% due 03/15/50 |
65,000 | 48,106 | ||||||
3.400% due 03/15/51 |
40,000 | 29,493 | ||||||
3.875% due 10/15/47 |
50,000 | 40,595 | ||||||
4.125% due 11/15/25 |
45,000 | 44,294 | ||||||
4.375% due 10/15/28 |
80,000 | 78,878 | ||||||
4.800% due 08/15/38 |
60,000 | 58,188 | ||||||
4.900% due 12/15/48 |
555,000 | 522,734 |
Principal |
Value |
|||||||
Cintas Corp. No. 2 |
||||||||
3.450% due 05/01/25 |
$25,000 | $24,409 | ||||||
3.700% due 04/01/27 |
50,000 | 48,533 | ||||||
Coca-Cola Co. |
||||||||
1.375% due 03/15/31 |
200,000 | 163,250 | ||||||
1.500% due 03/05/28 |
60,000 | 53,328 | ||||||
2.000% due 03/05/31 |
65,000 | 55,696 | ||||||
2.125% due 09/06/29 |
100,000 | 89,816 | ||||||
2.250% due 01/05/32 |
100,000 | 87,143 | ||||||
2.875% due 05/05/41 |
100,000 | 79,925 | ||||||
3.000% due 03/05/51 |
415,000 | 324,046 | ||||||
Colgate-Palmolive Co. |
||||||||
3.100% due 08/15/27 |
50,000 | 48,242 | ||||||
3.700% due 08/01/47 |
100,000 | 90,494 | ||||||
4.800% due 03/02/26 |
60,000 | 61,346 | ||||||
CommonSpirit Health |
||||||||
4.350% due 11/01/42 |
150,000 | 129,594 | ||||||
6.073% due 11/01/27 |
80,000 | 82,187 | ||||||
Conagra Brands, Inc. |
||||||||
4.300% due 05/01/24 |
15,000 | 14,854 | ||||||
4.600% due 11/01/25 |
35,000 | 34,561 | ||||||
4.850% due 11/01/28 |
45,000 | 44,827 | ||||||
5.300% due 11/01/38 |
50,000 | 48,983 | ||||||
5.400% due 11/01/48 |
40,000 | 39,223 | ||||||
Constellation Brands, Inc. |
||||||||
2.250% due 08/01/31 |
160,000 | 131,547 | ||||||
3.500% due 05/09/27 |
15,000 | 14,439 | ||||||
4.350% due 05/09/27 |
150,000 | 148,046 | ||||||
4.400% due 11/15/25 |
35,000 | 34,547 | ||||||
4.650% due 11/15/28 |
30,000 | 29,998 | ||||||
5.250% due 11/15/48 |
30,000 | 29,002 | ||||||
CVS Health Corp. |
||||||||
1.300% due 08/21/27 |
335,000 | 291,865 | ||||||
1.750% due 08/21/30 |
200,000 | 162,681 | ||||||
2.625% due 08/15/24 |
30,000 | 29,094 | ||||||
2.700% due 08/21/40 |
65,000 | 46,552 | ||||||
2.875% due 06/01/26 |
100,000 | 95,076 | ||||||
3.000% due 08/15/26 |
35,000 | 33,416 | ||||||
3.250% due 08/15/29 |
65,000 | 59,473 | ||||||
3.750% due 04/01/30 |
100,000 | 93,631 | ||||||
3.875% due 07/20/25 |
200,000 | 196,499 | ||||||
4.100% due 03/25/25 |
37,000 | 36,702 | ||||||
4.125% due 04/01/40 |
300,000 | 258,290 | ||||||
4.250% due 04/01/50 |
200,000 | 167,346 | ||||||
4.300% due 03/25/28 |
72,000 | 70,749 | ||||||
4.780% due 03/25/38 |
95,000 | 90,629 | ||||||
5.125% due 07/20/45 |
105,000 | 99,700 | ||||||
5.250% due 02/21/33 |
500,000 | 510,501 | ||||||
5.300% due 12/05/43 |
200,000 | 197,051 | ||||||
Danaher Corp. |
||||||||
2.600% due 10/01/50 |
125,000 | 85,629 | ||||||
2.800% due 12/10/51 |
100,000 | 69,902 | ||||||
3.350% due 09/15/25 |
30,000 | 29,377 | ||||||
4.375% due 09/15/45 |
30,000 | 28,008 | ||||||
Diageo Capital PLC (United Kingdom) |
||||||||
2.000% due 04/29/30 |
350,000 | 298,393 | ||||||
3.875% due 04/29/43 |
100,000 | 87,243 | ||||||
Dignity Health |
100,000 | 93,382 | ||||||
Elevance Health, Inc. |
||||||||
2.550% due 03/15/31 |
100,000 | 86,117 | ||||||
3.350% due 12/01/24 |
400,000 | 390,718 | ||||||
3.600% due 03/15/51 |
30,000 | 23,399 | ||||||
3.650% due 12/01/27 |
30,000 | 29,006 | ||||||
4.375% due 12/01/47 |
30,000 | 26,741 | ||||||
4.625% due 05/15/42 |
100,000 | 93,449 | ||||||
4.650% due 01/15/43 |
50,000 | 46,789 | ||||||
4.750% due 02/15/33 |
100,000 | 100,571 | ||||||
5.500% due 10/15/32 |
200,000 | 210,525 | ||||||
Eli Lilly & Co. |
||||||||
2.250% due 05/15/50 |
200,000 | 132,482 | ||||||
3.375% due 03/15/29 |
27,000 | 25,856 | ||||||
4.700% due 02/27/33 |
125,000 | 128,227 | ||||||
4.950% due 02/27/63 |
250,000 | 257,524 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
197
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Equifax, Inc. |
||||||||
2.350% due 09/15/31 |
$150,000 | $120,908 | ||||||
2.600% due 12/01/24 |
25,000 | 23,900 | ||||||
Estee Lauder Cos., Inc. |
||||||||
1.950% due 03/15/31 |
45,000 | 37,800 | ||||||
2.000% due 12/01/24 |
10,000 | 9,653 | ||||||
2.375% due 12/01/29 |
10,000 | 8,851 | ||||||
3.125% due 12/01/49 |
15,000 | 11,520 | ||||||
3.150% due 03/15/27 |
50,000 | 48,390 | ||||||
4.150% due 03/15/47 |
30,000 | 27,261 | ||||||
Flowers Foods, Inc. |
45,000 | 37,611 | ||||||
GE HealthCare Technologies, Inc. |
500,000 | 523,418 | ||||||
General Mills, Inc. |
||||||||
2.250% due 10/14/31 |
50,000 | 41,597 | ||||||
3.000% due 02/01/51 |
60,000 | 43,841 | ||||||
3.200% due 02/10/27 |
100,000 | 96,209 | ||||||
4.200% due 04/17/28 |
50,000 | 49,487 | ||||||
4.950% due 03/29/33 |
70,000 | 71,123 | ||||||
5.241% due 11/18/25 |
30,000 | 30,096 | ||||||
George Washington University |
50,000 | 46,017 | ||||||
Georgetown University |
25,000 | 17,090 | ||||||
Gilead Sciences, Inc. |
||||||||
1.200% due 10/01/27 |
45,000 | 39,330 | ||||||
1.650% due 10/01/30 |
40,000 | 32,947 | ||||||
2.600% due 10/01/40 |
450,000 | 332,214 | ||||||
2.800% due 10/01/50 |
100,000 | 69,133 | ||||||
2.950% due 03/01/27 |
100,000 | 95,221 | ||||||
3.650% due 03/01/26 |
100,000 | 97,941 | ||||||
4.150% due 03/01/47 |
75,000 | 66,012 | ||||||
4.600% due 09/01/35 |
45,000 | 44,598 | ||||||
4.750% due 03/01/46 |
50,000 | 48,120 | ||||||
GlaxoSmithKline Capital PLC (United Kingdom) |
250,000 | 237,509 | ||||||
GlaxoSmithKline Capital, Inc. (United Kingdom) |
||||||||
3.625% due 05/15/25 |
85,000 | 83,820 | ||||||
6.375% due 05/15/38 |
100,000 | 118,049 | ||||||
Global Payments, Inc. |
200,000 | 196,266 | ||||||
Hackensack Meridian Health, Inc. |
100,000 | 92,060 | ||||||
Haleon UK Capital PLC |
350,000 | 338,474 | ||||||
Haleon US Capital LLC |
||||||||
3.375% due 03/24/27 |
250,000 | 237,206 | ||||||
3.625% due 03/24/32 |
250,000 | 227,188 | ||||||
HCA, Inc. |
||||||||
3.125% due 03/15/27 ~ |
45,000 | 41,864 | ||||||
3.500% due 07/15/51 |
350,000 | 242,155 | ||||||
3.625% due 03/15/32 ~ |
600,000 | 529,474 | ||||||
4.125% due 06/15/29 |
35,000 | 32,821 | ||||||
4.500% due 02/15/27 |
60,000 | 58,639 | ||||||
4.625% due 03/15/52 ~ |
25,000 | 20,796 | ||||||
5.125% due 06/15/39 |
50,000 | 46,781 | ||||||
5.250% due 04/15/25 |
70,000 | 70,000 | ||||||
5.250% due 06/15/26 |
75,000 | 75,111 | ||||||
5.250% due 06/15/49 |
100,000 | 90,333 | ||||||
5.500% due 06/15/47 |
75,000 | 70,518 | ||||||
Hershey Co. |
50,000 | 47,401 | ||||||
Hormel Foods Corp. |
||||||||
0.650% due 06/03/24 |
20,000 | 19,016 | ||||||
1.700% due 06/03/28 |
35,000 | 30,890 | ||||||
3.050% due 06/03/51 |
25,000 | 18,274 | ||||||
Humana, Inc. |
||||||||
3.700% due 03/23/29 |
85,000 | 80,063 |
Principal |
Value |
|||||||
3.850% due 10/01/24 |
$100,000 | $98,351 | ||||||
4.625% due 12/01/42 |
100,000 | 90,426 | ||||||
5.700% due 03/13/26 |
75,000 | 75,309 | ||||||
Ingredion, Inc. |
100,000 | 95,360 | ||||||
J M Smucker Co. |
||||||||
2.375% due 03/15/30 |
65,000 | 56,103 | ||||||
2.750% due 09/15/41 |
100,000 | 73,283 | ||||||
3.550% due 03/15/50 |
50,000 | 37,611 | ||||||
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc. |
500,000 | 478,750 | ||||||
Johns Hopkins Health System Corp. |
50,000 | 42,358 | ||||||
Johns Hopkins University |
30,000 | 30,540 | ||||||
Johnson & Johnson |
||||||||
0.550% due 09/01/25 |
400,000 | 367,961 | ||||||
1.300% due 09/01/30 |
70,000 | 58,628 | ||||||
2.100% due 09/01/40 |
65,000 | 47,207 | ||||||
2.250% due 09/01/50 |
100,000 | 67,515 | ||||||
2.450% due 03/01/26 |
50,000 | 48,067 | ||||||
3.400% due 01/15/38 |
50,000 | 44,973 | ||||||
3.500% due 01/15/48 |
65,000 | 56,798 | ||||||
3.550% due 03/01/36 |
25,000 | 23,200 | ||||||
3.625% due 03/03/37 |
132,000 | 122,175 | ||||||
3.700% due 03/01/46 |
25,000 | 22,438 | ||||||
3.750% due 03/03/47 |
50,000 | 45,095 | ||||||
4.850% due 05/15/41 |
50,000 | 51,309 | ||||||
5.950% due 08/15/37 |
100,000 | 116,729 | ||||||
Kaiser Foundation Hospitals |
||||||||
2.810% due 06/01/41 |
65,000 | 47,656 | ||||||
3.002% due 06/01/51 |
70,000 | 49,342 | ||||||
3.150% due 05/01/27 |
225,000 | 212,053 | ||||||
4.150% due 05/01/47 |
20,000 | 17,679 | ||||||
Kellogg Co. |
||||||||
3.400% due 11/15/27 |
100,000 | 95,317 | ||||||
4.300% due 05/15/28 |
100,000 | 98,778 | ||||||
Kenvue, Inc. |
||||||||
5.050% due 03/22/28 ~ |
200,000 | 206,806 | ||||||
5.050% due 03/22/53 ~ |
200,000 | 206,291 | ||||||
Keurig Dr Pepper, Inc. |
||||||||
2.550% due 09/15/26 |
50,000 | 46,412 | ||||||
3.430% due 06/15/27 |
35,000 | 33,438 | ||||||
4.420% due 12/15/46 |
250,000 | 219,488 | ||||||
Kimberly-Clark Corp. |
||||||||
1.050% due 09/15/27 |
25,000 | 21,905 | ||||||
2.000% due 11/02/31 |
100,000 | 84,362 | ||||||
3.050% due 08/15/25 |
50,000 | 48,353 | ||||||
3.950% due 11/01/28 |
10,000 | 9,903 | ||||||
6.625% due 08/01/37 |
100,000 | 121,956 | ||||||
Kraft Heinz Foods Co. |
||||||||
3.875% due 05/15/27 |
250,000 | 244,296 | ||||||
4.375% due 06/01/46 |
500,000 | 436,043 | ||||||
Kroger Co. |
||||||||
3.500% due 02/01/26 |
50,000 | 48,779 | ||||||
3.950% due 01/15/50 |
100,000 | 81,802 | ||||||
4.650% due 01/15/48 |
100,000 | 89,647 | ||||||
5.150% due 08/01/43 |
25,000 | 23,681 | ||||||
Laboratory Corp. of America Holdings |
||||||||
1.550% due 06/01/26 |
70,000 | 62,717 | ||||||
2.700% due 06/01/31 |
100,000 | 86,060 | ||||||
3.600% due 09/01/27 |
100,000 | 95,219 | ||||||
4.700% due 02/01/45 |
50,000 | 44,670 | ||||||
Leland Stanford Junior University |
125,000 | 107,453 | ||||||
Mass General Brigham, Inc. |
30,000 | 21,521 | ||||||
Massachusetts Institute of Technology |
||||||||
3.067% due 04/01/52 |
100,000 | 78,125 | ||||||
5.600% due 07/01/11 |
100,000 | 111,895 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
198
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Mayo Clinic |
$100,000 | $70,626 | ||||||
McCormick & Co., Inc. |
||||||||
0.900% due 02/15/26 |
95,000 | 85,174 | ||||||
3.400% due 08/15/27 |
50,000 | 47,451 | ||||||
McKesson Corp. |
165,000 | 147,914 | ||||||
Mead Johnson Nutrition Co. (United Kingdom) |
200,000 | 185,868 | ||||||
Medtronic Global Holdings SCA |
200,000 | 200,264 | ||||||
Medtronic, Inc. |
65,000 | 63,888 | ||||||
Memorial Sloan-Kettering Cancer Center |
55,000 | 38,979 | ||||||
Merck & Co., Inc. |
||||||||
0.750% due 02/24/26 |
350,000 | 320,659 | ||||||
1.700% due 06/10/27 |
50,000 | 45,452 | ||||||
2.150% due 12/10/31 |
50,000 | 42,358 | ||||||
3.400% due 03/07/29 |
200,000 | 192,405 | ||||||
3.600% due 09/15/42 |
300,000 | 258,542 | ||||||
4.150% due 05/18/43 |
100,000 | 93,704 | ||||||
Molson Coors Beverage Co. |
||||||||
4.200% due 07/15/46 |
40,000 | 32,753 | ||||||
5.000% due 05/01/42 |
100,000 | 94,518 | ||||||
Mondelez International, Inc. |
||||||||
1.500% due 02/04/31 |
40,000 | 31,930 | ||||||
1.875% due 10/15/32 |
300,000 | 240,567 | ||||||
2.625% due 09/04/50 |
25,000 | 16,798 | ||||||
Moodys Corp. |
||||||||
2.000% due 08/19/31 |
100,000 | 81,655 | ||||||
2.750% due 08/19/41 |
100,000 | 72,193 | ||||||
4.875% due 12/17/48 |
50,000 | 46,658 | ||||||
Mount Sinai Hospitals Group, Inc. |
50,000 | 41,643 | ||||||
New York & Presbyterian Hospital |
35,000 | 25,587 | ||||||
Northwell Healthcare, Inc. |
100,000 | 78,467 | ||||||
Northwestern University |
25,000 | 20,218 | ||||||
Novartis Capital Corp. (Switzerland) |
||||||||
3.000% due 11/20/25 |
100,000 | 96,903 | ||||||
3.100% due 05/17/27 |
30,000 | 28,885 | ||||||
3.400% due 05/06/24 |
150,000 | 148,128 | ||||||
4.000% due 11/20/45 |
100,000 | 92,251 | ||||||
NYU Langone Hospitals |
25,000 | 22,001 | ||||||
OhioHealth Corp. |
100,000 | 83,630 | ||||||
PayPal Holdings, Inc. |
||||||||
1.650% due 06/01/25 |
315,000 | 295,833 | ||||||
2.300% due 06/01/30 |
55,000 | 47,120 | ||||||
3.250% due 06/01/50 |
65,000 | 47,562 | ||||||
4.400% due 06/01/32 |
100,000 | 97,884 | ||||||
5.050% due 06/01/52 |
100,000 | 96,296 | ||||||
PeaceHealth Obligated Group |
15,000 | 13,661 | ||||||
PepsiCo, Inc. |
||||||||
1.625% due 05/01/30 |
60,000 | 50,806 | ||||||
1.950% due 10/21/31 |
75,000 | 63,370 | ||||||
2.375% due 10/06/26 |
55,000 | 51,915 | ||||||
2.750% due 04/30/25 |
100,000 | 96,897 | ||||||
2.750% due 03/19/30 |
500,000 | 457,567 | ||||||
2.750% due 10/21/51 |
500,000 | 368,112 | ||||||
3.450% due 10/06/46 |
60,000 | 51,493 | ||||||
3.500% due 07/17/25 |
50,000 | 49,327 | ||||||
4.200% due 07/18/52 |
55,000 | 52,581 | ||||||
PerkinElmer, Inc. |
||||||||
2.550% due 03/15/31 |
85,000 | 70,475 | ||||||
3.300% due 09/15/29 |
30,000 | 26,795 |
Principal |
Value |
|||||||
Pfizer, Inc. |
||||||||
0.800% due 05/28/25 |
$30,000 | $27,840 | ||||||
1.700% due 05/28/30 |
350,000 | 294,842 | ||||||
1.750% due 08/18/31 |
100,000 | 82,546 | ||||||
2.550% due 05/28/40 |
25,000 | 18,807 | ||||||
2.625% due 04/01/30 |
250,000 | 225,800 | ||||||
2.700% due 05/28/50 |
25,000 | 17,891 | ||||||
3.000% due 12/15/26 |
100,000 | 96,359 | ||||||
3.400% due 05/15/24 |
150,000 | 148,018 | ||||||
3.600% due 09/15/28 |
100,000 | 98,023 | ||||||
3.900% due 03/15/39 |
25,000 | 22,738 | ||||||
4.100% due 09/15/38 |
50,000 | 47,050 | ||||||
4.200% due 09/15/48 |
35,000 | 32,493 | ||||||
Philip Morris International, Inc. |
||||||||
0.875% due 05/01/26 |
100,000 | 89,727 | ||||||
1.750% due 11/01/30 |
100,000 | 80,418 | ||||||
3.250% due 11/10/24 |
125,000 | 122,162 | ||||||
3.375% due 08/11/25 |
50,000 | 48,455 | ||||||
4.250% due 11/10/44 |
30,000 | 25,013 | ||||||
4.500% due 03/20/42 |
200,000 | 174,156 | ||||||
4.875% due 02/13/26 |
400,000 | 403,175 | ||||||
4.875% due 02/15/28 |
100,000 | 100,993 | ||||||
5.125% due 02/15/30 |
100,000 | 101,319 | ||||||
5.375% due 02/15/33 |
100,000 | 102,232 | ||||||
6.375% due 05/16/38 |
100,000 | 109,454 | ||||||
President & Fellows of Harvard College |
100,000 | 104,791 | ||||||
Procter & Gamble Co. |
||||||||
0.550% due 10/29/25 |
50,000 | 45,832 | ||||||
1.000% due 04/23/26 |
250,000 | 228,889 | ||||||
1.200% due 10/29/30 |
50,000 | 40,885 | ||||||
3.000% due 03/25/30 |
300,000 | 281,530 | ||||||
3.950% due 01/26/28 |
100,000 | 100,513 | ||||||
Providence St Joseph Health Obligated Group |
||||||||
2.700% due 10/01/51 |
75,000 | 45,685 | ||||||
3.930% due 10/01/48 |
35,000 | 27,579 | ||||||
Quanta Services, Inc. |
||||||||
0.950% due 10/01/24 |
15,000 | 13,998 | ||||||
2.350% due 01/15/32 |
25,000 | 19,863 | ||||||
3.050% due 10/01/41 |
30,000 | 20,967 | ||||||
Quest Diagnostics, Inc. |
||||||||
2.800% due 06/30/31 |
70,000 | 61,249 | ||||||
2.950% due 06/30/30 |
55,000 | 49,258 | ||||||
RELX Capital, Inc. (United Kingdom) |
100,000 | 96,484 | ||||||
Reynolds American, Inc. (United Kingdom) |
300,000 | 284,555 | ||||||
Royalty Pharma PLC |
||||||||
2.150% due 09/02/31 |
55,000 | 43,500 | ||||||
3.300% due 09/02/40 |
300,000 | 217,723 | ||||||
3.350% due 09/02/51 |
60,000 | 39,598 | ||||||
RWJ Barnabas Health, Inc. |
25,000 | 19,691 | ||||||
S&P Global, Inc. |
||||||||
2.450% due 03/01/27 |
250,000 | 234,620 | ||||||
2.700% due 03/01/29 |
200,000 | 182,044 | ||||||
3.900% due 03/01/62 |
250,000 | 208,016 | ||||||
Shire Acquisitions Investments Ireland DAC |
250,000 | 238,004 | ||||||
Smith & Nephew PLC (United Kingdom) |
250,000 | 202,884 | ||||||
Stanford Health Care |
30,000 | 21,430 | ||||||
Stryker Corp. |
||||||||
1.150% due 06/15/25 |
250,000 | 231,068 | ||||||
4.100% due 04/01/43 |
100,000 | 87,023 | ||||||
Sutter Health |
||||||||
2.294% due 08/15/30 |
55,000 | 46,173 | ||||||
3.361% due 08/15/50 |
55,000 | 40,272 | ||||||
Sysco Corp. |
||||||||
2.450% due 12/14/31 |
105,000 | 87,548 | ||||||
3.150% due 12/14/51 |
125,000 | 87,534 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
199
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
3.250% due 07/15/27 |
$50,000 | $47,395 | ||||||
3.750% due 10/01/25 |
25,000 | 24,348 | ||||||
4.450% due 03/15/48 |
50,000 | 43,436 | ||||||
4.500% due 04/01/46 |
25,000 | 21,706 | ||||||
4.850% due 10/01/45 |
15,000 | 13,725 | ||||||
Takeda Pharmaceutical Co. Ltd. (Japan) |
||||||||
3.175% due 07/09/50 |
250,000 | 178,902 | ||||||
5.000% due 11/26/28 |
100,000 | 101,123 | ||||||
Thermo Fisher Scientific, Inc. |
||||||||
1.215% due 10/18/24 |
250,000 | 237,383 | ||||||
1.750% due 10/15/28 |
20,000 | 17,587 | ||||||
2.000% due 10/15/31 |
35,000 | 29,201 | ||||||
2.800% due 10/15/41 |
320,000 | 243,828 | ||||||
5.300% due 02/01/44 |
100,000 | 104,822 | ||||||
Toledo Hospital |
50,000 | 48,936 | ||||||
Trustees of Princeton University |
50,000 | 55,913 | ||||||
Tyson Foods, Inc. |
||||||||
3.550% due 06/02/27 |
350,000 | 334,011 | ||||||
4.000% due 03/01/26 |
15,000 | 14,740 | ||||||
4.350% due 03/01/29 |
20,000 | 19,433 | ||||||
5.100% due 09/28/48 |
10,000 | 9,438 | ||||||
Unilever Capital Corp. (United Kingdom) |
||||||||
1.750% due 08/12/31 |
140,000 | 115,121 | ||||||
5.900% due 11/15/32 |
50,000 | 56,058 | ||||||
UnitedHealth Group, Inc. |
||||||||
0.550% due 05/15/24 |
35,000 | 33,393 | ||||||
1.150% due 05/15/26 |
50,000 | 45,496 | ||||||
2.000% due 05/15/30 |
405,000 | 346,442 | ||||||
2.300% due 05/15/31 |
50,000 | 42,870 | ||||||
2.375% due 08/15/24 |
70,000 | 67,806 | ||||||
2.875% due 08/15/29 |
75,000 | 68,781 | ||||||
2.900% due 05/15/50 |
300,000 | 212,863 | ||||||
3.050% due 05/15/41 |
50,000 | 39,462 | ||||||
3.250% due 05/15/51 |
50,000 | 37,637 | ||||||
3.500% due 08/15/39 |
60,000 | 51,127 | ||||||
3.700% due 12/15/25 |
20,000 | 19,588 | ||||||
3.700% due 08/15/49 |
65,000 | 53,140 | ||||||
3.750% due 07/15/25 |
75,000 | 74,126 | ||||||
3.850% due 06/15/28 |
100,000 | 97,810 | ||||||
3.875% due 12/15/28 |
25,000 | 24,517 | ||||||
3.875% due 08/15/59 |
100,000 | 81,971 | ||||||
4.200% due 05/15/32 |
65,000 | 63,750 | ||||||
4.250% due 06/15/48 |
50,000 | 45,078 | ||||||
4.450% due 12/15/48 |
25,000 | 23,199 | ||||||
4.500% due 04/15/33 |
150,000 | 149,204 | ||||||
4.750% due 07/15/45 |
50,000 | 49,056 | ||||||
5.050% due 04/15/53 |
150,000 | 151,820 | ||||||
5.150% due 10/15/25 |
25,000 | 25,488 | ||||||
5.250% due 02/15/28 |
70,000 | 72,842 | ||||||
5.350% due 02/15/33 |
100,000 | 106,373 | ||||||
5.875% due 02/15/53 |
530,000 | 596,659 | ||||||
6.875% due 02/15/38 |
250,000 | 302,004 | ||||||
University of Chicago |
10,000 | 7,829 | ||||||
University of Notre Dame du Lac |
50,000 | 41,596 | ||||||
University of Southern California |
||||||||
2.805% due 10/01/50 |
50,000 | 35,193 | ||||||
3.028% due 10/01/39 |
50,000 | 41,349 | ||||||
Utah Acquisition Sub, Inc. |
100,000 | 95,319 | ||||||
Verisk Analytics, Inc. |
115,000 | 120,823 | ||||||
Viatris, Inc. |
400,000 | 281,102 | ||||||
Wyeth LLC |
||||||||
5.950% due 04/01/37 |
50,000 | 56,184 | ||||||
6.500% due 02/01/34 |
100,000 | 115,091 | ||||||
Zimmer Biomet Holdings, Inc. |
100,000 | 83,593 |
Principal |
Value |
|||||||
Zoetis, Inc. |
$135,000 | $144,070 | ||||||
|
|
|||||||
52,072,358 | ||||||||
|
|
|||||||
Energy - 1.7% |
| |||||||
Baker Hughes Holdings LLC/Baker Hughes Co.-Obligor, Inc. |
||||||||
3.337% due 12/15/27 |
100,000 | 93,756 | ||||||
4.080% due 12/15/47 |
50,000 | 40,699 | ||||||
5.125% due 09/15/40 |
50,000 | 48,600 | ||||||
Boardwalk Pipelines LP |
100,000 | 99,441 | ||||||
BP Capital Markets America, Inc. |
||||||||
1.749% due 08/10/30 |
130,000 | 107,638 | ||||||
2.772% due 11/10/50 |
130,000 | 88,173 | ||||||
3.000% due 02/24/50 |
150,000 | 106,396 | ||||||
3.001% due 03/17/52 |
50,000 | 35,319 | ||||||
3.119% due 05/04/26 |
25,000 | 24,071 | ||||||
3.588% due 04/14/27 |
100,000 | 96,856 | ||||||
4.234% due 11/06/28 |
400,000 | 396,751 | ||||||
4.812% due 02/13/33 |
535,000 | 543,429 | ||||||
Canadian Natural Resources Ltd. (Canada) |
||||||||
2.050% due 07/15/25 |
300,000 | 280,476 | ||||||
3.800% due 04/15/24 |
43,000 | 42,297 | ||||||
3.850% due 06/01/27 |
50,000 | 47,924 | ||||||
4.950% due 06/01/47 |
25,000 | 22,623 | ||||||
6.750% due 02/01/39 |
90,000 | 95,817 | ||||||
Cenovus Energy, Inc. (Canada) |
||||||||
2.650% due 01/15/32 |
65,000 | 53,693 | ||||||
3.750% due 02/15/52 |
225,000 | 164,165 | ||||||
Cheniere Corpus Christi Holdings LLC |
||||||||
3.700% due 11/15/29 |
60,000 | 55,312 | ||||||
5.125% due 06/30/27 |
300,000 | 300,398 | ||||||
Chevron Corp. |
||||||||
1.554% due 05/11/25 |
35,000 | 33,020 | ||||||
1.995% due 05/11/27 |
350,000 | 320,751 | ||||||
2.236% due 05/11/30 |
25,000 | 22,115 | ||||||
2.954% due 05/16/26 |
100,000 | 96,349 | ||||||
3.326% due 11/17/25 |
50,000 | 49,073 | ||||||
Chevron USA, Inc. |
50,000 | 49,388 | ||||||
ConocoPhillips Co. |
||||||||
3.758% due 03/15/42 |
250,000 | 212,993 | ||||||
4.025% due 03/15/62 |
200,000 | 164,318 | ||||||
6.950% due 04/15/29 |
100,000 | 112,693 | ||||||
Devon Energy Corp. |
||||||||
5.000% due 06/15/45 |
105,000 | 93,476 | ||||||
5.850% due 12/15/25 |
50,000 | 50,833 | ||||||
Diamondback Energy, Inc. |
||||||||
3.125% due 03/24/31 |
500,000 | 433,900 | ||||||
3.500% due 12/01/29 |
100,000 | 91,492 | ||||||
4.250% due 03/15/52 |
60,000 | 47,174 | ||||||
6.250% due 03/15/33 |
300,000 | 317,225 | ||||||
Enbridge Energy Partners LP |
50,000 | 58,263 | ||||||
Enbridge, Inc. (Canada) |
||||||||
1.600% due 10/04/26 |
55,000 | 49,385 | ||||||
2.500% due 01/15/25 |
50,000 | 47,931 | ||||||
2.500% due 08/01/33 |
400,000 | 322,660 | ||||||
3.400% due 08/01/51 |
70,000 | 49,446 | ||||||
3.700% due 07/15/27 |
100,000 | 95,264 | ||||||
4.500% due 06/10/44 |
150,000 | 127,589 | ||||||
Energy Transfer LP |
||||||||
2.900% due 05/15/25 |
40,000 | 38,140 | ||||||
3.750% due 05/15/30 |
310,000 | 286,345 | ||||||
3.900% due 07/15/26 |
100,000 | 96,244 | ||||||
4.050% due 03/15/25 |
100,000 | 98,128 | ||||||
4.200% due 04/15/27 |
100,000 | 95,933 | ||||||
4.400% due 03/15/27 |
200,000 | 194,473 | ||||||
5.000% due 05/15/50 |
350,000 | 299,280 | ||||||
5.250% due 04/15/29 |
25,000 | 24,928 | ||||||
5.300% due 04/15/47 |
100,000 | 87,811 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
200
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
5.750% due 02/15/33 |
$350,000 | $358,838 | ||||||
5.950% due 10/01/43 |
100,000 | 95,868 | ||||||
6.125% due 12/15/45 |
200,000 | 193,709 | ||||||
6.500% due 02/01/42 |
100,000 | 103,895 | ||||||
Enterprise Products Operating LLC |
||||||||
3.125% due 07/31/29 |
100,000 | 91,687 | ||||||
4.150% due 10/16/28 |
50,000 | 48,640 | ||||||
4.200% due 01/31/50 |
450,000 | 382,277 | ||||||
4.250% due 02/15/48 |
25,000 | 21,328 | ||||||
4.800% due 02/01/49 |
50,000 | 45,925 | ||||||
5.350% due 01/31/33 |
100,000 | 103,690 | ||||||
5.375% due 02/15/78 |
300,000 | 241,557 | ||||||
6.125% due 10/15/39 |
115,000 | 124,978 | ||||||
6.875% due 03/01/33 |
150,000 | 171,326 | ||||||
Equinor ASA (Norway) |
||||||||
2.375% due 05/22/30 |
125,000 | 110,457 | ||||||
3.250% due 11/18/49 |
200,000 | 154,475 | ||||||
3.950% due 05/15/43 |
300,000 | 265,009 | ||||||
Exxon Mobil Corp. |
||||||||
2.019% due 08/16/24 |
50,000 | 48,310 | ||||||
2.440% due 08/16/29 |
50,000 | 45,771 | ||||||
2.610% due 10/15/30 |
250,000 | 224,788 | ||||||
2.992% due 03/19/25 |
500,000 | 487,054 | ||||||
2.995% due 08/16/39 |
50,000 | 40,485 | ||||||
3.043% due 03/01/26 |
150,000 | 145,675 | ||||||
3.452% due 04/15/51 |
200,000 | 159,531 | ||||||
4.114% due 03/01/46 |
65,000 | 58,700 | ||||||
4.327% due 03/19/50 |
300,000 | 277,444 | ||||||
Halliburton Co. |
||||||||
3.800% due 11/15/25 |
6,000 | 5,882 | ||||||
4.850% due 11/15/35 |
50,000 | 48,102 | ||||||
5.000% due 11/15/45 |
342,000 | 311,668 | ||||||
7.450% due 09/15/39 |
25,000 | 29,016 | ||||||
Hess Corp. |
||||||||
4.300% due 04/01/27 |
50,000 | 48,847 | ||||||
5.600% due 02/15/41 |
50,000 | 48,271 | ||||||
5.800% due 04/01/47 |
50,000 | 49,072 | ||||||
7.125% due 03/15/33 |
50,000 | 55,468 | ||||||
Kinder Morgan, Inc. |
||||||||
2.000% due 02/15/31 |
210,000 | 169,668 | ||||||
3.250% due 08/01/50 |
220,000 | 146,233 | ||||||
4.300% due 03/01/28 |
300,000 | 294,983 | ||||||
4.800% due 02/01/33 |
100,000 | 96,551 | ||||||
5.300% due 12/01/34 |
70,000 | 68,777 | ||||||
5.550% due 06/01/45 |
350,000 | 331,642 | ||||||
Magellan Midstream Partners LP |
||||||||
4.200% due 10/03/47 |
50,000 | 40,067 | ||||||
4.250% due 09/15/46 |
70,000 | 55,810 | ||||||
5.000% due 03/01/26 |
50,000 | 50,452 | ||||||
Marathon Oil Corp. |
||||||||
4.400% due 07/15/27 |
100,000 | 96,955 | ||||||
5.200% due 06/01/45 |
50,000 | 43,572 | ||||||
Marathon Petroleum Corp. |
||||||||
3.800% due 04/01/28 |
30,000 | 28,631 | ||||||
4.500% due 04/01/48 |
25,000 | 20,522 | ||||||
5.125% due 12/15/26 |
50,000 | 50,498 | ||||||
6.500% due 03/01/41 |
100,000 | 106,865 | ||||||
MPLX LP |
||||||||
2.650% due 08/15/30 |
45,000 | 38,188 | ||||||
4.250% due 12/01/27 |
250,000 | 242,261 | ||||||
4.500% due 04/15/38 |
30,000 | 26,693 | ||||||
4.700% due 04/15/48 |
45,000 | 37,859 | ||||||
4.875% due 12/01/24 |
250,000 | 248,551 | ||||||
4.900% due 04/15/58 |
15,000 | 12,520 | ||||||
4.950% due 03/14/52 |
200,000 | 174,199 | ||||||
5.650% due 03/01/53 |
75,000 | 72,285 | ||||||
NOV, Inc. |
100,000 | 74,256 | ||||||
ONEOK, Inc. |
||||||||
2.200% due 09/15/25 |
25,000 | 23,185 | ||||||
3.100% due 03/15/30 |
25,000 | 21,869 | ||||||
4.000% due 07/13/27 |
130,000 | 124,283 |
Principal |
Value |
|||||||
4.350% due 03/15/29 |
$100,000 | $94,660 | ||||||
4.500% due 03/15/50 |
25,000 | 19,409 | ||||||
4.550% due 07/15/28 |
50,000 | 48,414 | ||||||
4.950% due 07/13/47 |
50,000 | 41,983 | ||||||
5.200% due 07/15/48 |
25,000 | 21,649 | ||||||
Phillips 66 |
||||||||
1.300% due 02/15/26 |
20,000 | 18,122 | ||||||
3.300% due 03/15/52 |
100,000 | 70,874 | ||||||
4.650% due 11/15/34 |
200,000 | 191,991 | ||||||
4.950% due 12/01/27 |
250,000 | 251,231 | ||||||
Phillips 66 Co. |
||||||||
3.550% due 10/01/26 ~ |
50,000 | 47,734 | ||||||
4.900% due 10/01/46 ~ |
25,000 | 22,908 | ||||||
Pioneer Natural Resources Co. |
385,000 | 316,426 | ||||||
Plains All American Pipeline LP/PAA Finance Corp. |
||||||||
4.500% due 12/15/26 |
150,000 | 146,703 | ||||||
4.650% due 10/15/25 |
100,000 | 98,968 | ||||||
4.700% due 06/15/44 |
50,000 | 39,358 | ||||||
Sabine Pass Liquefaction LLC |
||||||||
4.500% due 05/15/30 |
205,000 | 197,842 | ||||||
5.625% due 03/01/25 |
165,000 | 166,114 | ||||||
Schlumberger Investment SA |
100,000 | 88,456 | ||||||
Shell International Finance BV (Netherlands) |
||||||||
2.500% due 09/12/26 |
50,000 | 47,106 | ||||||
2.750% due 04/06/30 |
85,000 | 77,570 | ||||||
2.875% due 05/10/26 |
100,000 | 95,729 | ||||||
2.875% due 11/26/41 |
200,000 | 153,773 | ||||||
3.000% due 11/26/51 |
200,000 | 144,379 | ||||||
3.250% due 05/11/25 |
100,000 | 97,789 | ||||||
3.250% due 04/06/50 |
100,000 | 76,399 | ||||||
3.625% due 08/21/42 |
100,000 | 84,282 | ||||||
3.750% due 09/12/46 |
50,000 | 42,297 | ||||||
4.000% due 05/10/46 |
100,000 | 87,525 | ||||||
4.125% due 05/11/35 |
263,000 | 252,230 | ||||||
Spectra Energy Partners LP |
20,000 | 18,962 | ||||||
Suncor Energy, Inc. (Canada) |
||||||||
4.000% due 11/15/47 |
70,000 | 56,098 | ||||||
6.800% due 05/15/38 |
200,000 | 220,035 | ||||||
Targa Resources Corp. |
||||||||
5.200% due 07/01/27 |
85,000 | 84,349 | ||||||
6.125% due 03/15/33 |
70,000 | 72,526 | ||||||
6.250% due 07/01/52 |
200,000 | 197,564 | ||||||
TC PipeLines LP |
20,000 | 19,329 | ||||||
TotalEnergies Capital International SA (France) |
||||||||
2.434% due 01/10/25 |
50,000 | 48,359 | ||||||
2.829% due 01/10/30 |
50,000 | 45,643 | ||||||
3.127% due 05/29/50 |
100,000 | 74,260 | ||||||
3.461% due 07/12/49 |
50,000 | 39,694 | ||||||
TotalEnergies Capital SA (France) |
25,000 | 24,647 | ||||||
TransCanada PipeLines Ltd. (Canada) |
||||||||
1.000% due 10/12/24 |
420,000 | 393,994 | ||||||
4.100% due 04/15/30 |
200,000 | 187,729 | ||||||
4.250% due 05/15/28 |
50,000 | 48,554 | ||||||
5.100% due 03/15/49 |
50,000 | 46,552 | ||||||
7.625% due 01/15/39 |
50,000 | 59,477 | ||||||
Transcontinental Gas Pipe Line Co. LLC |
||||||||
3.250% due 05/15/30 |
25,000 | 22,656 | ||||||
4.000% due 03/15/28 |
50,000 | 47,877 | ||||||
4.450% due 08/01/42 |
150,000 | 132,059 | ||||||
Valero Energy Corp. |
||||||||
2.150% due 09/15/27 |
100,000 | 90,360 | ||||||
2.800% due 12/01/31 |
100,000 | 84,152 | ||||||
6.625% due 06/15/37 |
150,000 | 164,230 | ||||||
Western Midstream Operating LP |
||||||||
4.300% due 02/01/30 |
200,000 | 182,250 | ||||||
6.150% due 04/01/33 |
40,000 | 40,592 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
201
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Williams Cos., Inc. |
||||||||
2.600% due 03/15/31 |
$350,000 | $294,570 | ||||||
3.750% due 06/15/27 |
50,000 | 48,011 | ||||||
4.550% due 06/24/24 |
85,000 | 84,405 | ||||||
5.100% due 09/15/45 |
100,000 | 91,653 | ||||||
5.300% due 08/15/52 |
250,000 | 236,391 | ||||||
5.400% due 03/02/26 |
70,000 | 71,356 | ||||||
5.750% due 06/24/44 |
35,000 | 34,297 | ||||||
6.300% due 04/15/40 |
20,000 | 21,079 | ||||||
|
|
|||||||
20,431,203 | ||||||||
|
|
|||||||
Financial - 9.6% |
||||||||
AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland) |
||||||||
1.650% due 10/29/24 |
150,000 | 140,416 | ||||||
1.750% due 10/29/24 |
150,000 | 139,855 | ||||||
2.450% due 10/29/26 |
150,000 | 134,813 | ||||||
3.300% due 01/30/32 |
150,000 | 124,379 | ||||||
3.875% due 01/23/28 |
150,000 | 138,531 | ||||||
6.500% due 07/15/25 |
250,000 | 252,012 | ||||||
Affiliated Managers Group, Inc. |
50,000 | 48,240 | ||||||
African Development Bank (Ivory Coast) |
||||||||
0.875% due 03/23/26 |
400,000 | 366,083 | ||||||
0.875% due 07/22/26 |
116,000 | 104,872 | ||||||
Air Lease Corp. |
||||||||
0.800% due 08/18/24 |
40,000 | 37,329 | ||||||
2.100% due 09/01/28 |
300,000 | 250,276 | ||||||
2.300% due 02/01/25 |
100,000 | 94,728 | ||||||
3.000% due 02/01/30 |
100,000 | 85,651 | ||||||
3.250% due 03/01/25 |
100,000 | 96,137 | ||||||
5.300% due 02/01/28 |
300,000 | 296,323 | ||||||
Aircastle Ltd. |
30,000 | 29,387 | ||||||
Alexandria Real Estate Equities, Inc. REIT |
||||||||
2.750% due 12/15/29 |
50,000 | 42,996 | ||||||
2.950% due 03/15/34 |
40,000 | 32,051 | ||||||
3.375% due 08/15/31 |
60,000 | 53,284 | ||||||
3.550% due 03/15/52 |
70,000 | 48,923 | ||||||
3.950% due 01/15/27 |
25,000 | 24,128 | ||||||
4.000% due 02/01/50 |
100,000 | 76,168 | ||||||
4.500% due 07/30/29 |
20,000 | 19,390 | ||||||
4.750% due 04/15/35 |
20,000 | 18,764 | ||||||
Allstate Corp. |
350,000 | 332,487 | ||||||
Ally Financial, Inc. |
200,000 | 193,271 | ||||||
American Express Co. |
||||||||
2.500% due 07/30/24 |
35,000 | 33,814 | ||||||
3.000% due 10/30/24 |
50,000 | 48,439 | ||||||
3.300% due 05/03/27 |
415,000 | 394,503 | ||||||
3.375% due 05/03/24 |
55,000 | 53,936 | ||||||
3.950% due 08/01/25 |
250,000 | 245,303 | ||||||
4.050% due 12/03/42 |
125,000 | 115,767 | ||||||
5.850% due 11/05/27 |
60,000 | 62,997 | ||||||
American Financial Group, Inc. |
50,000 | 42,211 | ||||||
American Homes 4 Rent LP REIT |
70,000 | 60,713 | ||||||
American International Group, Inc. |
||||||||
4.375% due 06/30/50 |
100,000 | 85,565 | ||||||
4.800% due 07/10/45 |
50,000 | 45,497 | ||||||
5.125% due 03/27/33 |
165,000 | 164,111 | ||||||
American Tower Corp. REIT |
||||||||
1.875% due 10/15/30 |
200,000 | 158,749 | ||||||
2.300% due 09/15/31 |
350,000 | 280,842 | ||||||
2.900% due 01/15/30 |
50,000 | 43,514 | ||||||
2.950% due 01/15/25 |
100,000 | 96,320 | ||||||
3.100% due 06/15/50 |
50,000 | 32,882 | ||||||
3.375% due 10/15/26 |
100,000 | 94,812 | ||||||
3.600% due 01/15/28 |
100,000 | 93,885 | ||||||
Ameriprise Financial, Inc. |
60,000 | 59,881 |
Principal |
Value |
|||||||
Aon Corp./Aon Global Holdings PLC |
||||||||
2.050% due 08/23/31 |
$100,000 | $80,857 | ||||||
2.900% due 08/23/51 |
100,000 | 66,873 | ||||||
4.500% due 12/15/28 |
200,000 | 196,207 | ||||||
Arch Capital Group Ltd. |
200,000 | 149,740 | ||||||
Arch Capital Group US, Inc. |
200,000 | 188,137 | ||||||
Ares Capital Corp. |
||||||||
2.150% due 07/15/26 |
350,000 | 300,567 | ||||||
3.250% due 07/15/25 |
50,000 | 45,727 | ||||||
Arthur J Gallagher & Co. |
265,000 | 271,009 | ||||||
Asian Development Bank (Multi-National) |
||||||||
0.375% due 06/11/24 |
180,000 | 171,522 | ||||||
0.500% due 02/04/26 |
400,000 | 363,842 | ||||||
0.625% due 04/29/25 |
500,000 | 465,828 | ||||||
1.000% due 04/14/26 |
200,000 | 183,607 | ||||||
1.250% due 06/09/28 |
50,000 | 44,244 | ||||||
1.500% due 10/18/24 |
150,000 | 143,757 | ||||||
1.750% due 08/14/26 |
250,000 | 233,793 | ||||||
2.625% due 01/12/27 |
200,000 | 191,925 | ||||||
2.750% due 01/19/28 |
100,000 | 95,892 | ||||||
2.875% due 05/06/25 |
225,000 | 219,464 | ||||||
3.125% due 09/26/28 |
200,000 | 193,840 | ||||||
3.875% due 09/28/32 |
120,000 | 121,857 | ||||||
4.000% due 01/12/33 |
85,000 | 87,098 | ||||||
4.125% due 09/27/24 |
250,000 | 248,864 | ||||||
Asian Infrastructure Investment Bank (Multi-National) |
||||||||
0.500% due 05/28/25 |
150,000 | 138,722 | ||||||
2.250% due 05/16/24 |
250,000 | 243,679 | ||||||
3.375% due 06/29/25 |
200,000 | 196,519 | ||||||
4.000% due 01/18/28 |
100,000 | 100,404 | ||||||
Assurant, Inc. |
100,000 | 98,396 | ||||||
Assured Guaranty US Holdings, Inc. |
70,000 | 60,093 | ||||||
Athene Holding Ltd. |
||||||||
3.450% due 05/15/52 |
100,000 | 63,399 | ||||||
3.500% due 01/15/31 |
20,000 | 16,646 | ||||||
6.650% due 02/01/33 |
100,000 | 101,651 | ||||||
AvalonBay Communities, Inc. REIT |
||||||||
2.050% due 01/15/32 |
200,000 | 162,026 | ||||||
2.450% due 01/15/31 |
105,000 | 88,569 | ||||||
3.350% due 05/15/27 |
25,000 | 23,586 | ||||||
4.150% due 07/01/47 |
50,000 | 41,456 | ||||||
AXA SA (France) |
75,000 | 90,372 | ||||||
Banco Bilbao Vizcaya Argentaria SA (Spain) |
200,000 | 203,411 | ||||||
Banco Santander SA (Spain) |
||||||||
1.722% due 09/14/27 |
200,000 | 174,786 | ||||||
2.706% due 06/27/24 |
200,000 | 193,246 | ||||||
2.749% due 12/03/30 |
200,000 | 156,235 | ||||||
3.892% due 05/24/24 |
200,000 | 195,664 | ||||||
5.294% due 08/18/27 |
200,000 | 197,009 | ||||||
Bank of America Corp. |
||||||||
1.197% due 10/24/26 |
100,000 | 89,891 | ||||||
1.319% due 06/19/26 |
500,000 | 457,426 | ||||||
1.530% due 12/06/25 |
200,000 | 187,135 | ||||||
1.658% due 03/11/27 |
350,000 | 317,145 | ||||||
1.734% due 07/22/27 |
410,000 | 367,987 | ||||||
1.922% due 10/24/31 |
100,000 | 79,822 | ||||||
2.015% due 02/13/26 |
100,000 | 93,770 | ||||||
2.299% due 07/21/32 |
100,000 | 80,665 | ||||||
2.456% due 10/22/25 |
50,000 | 47,632 | ||||||
2.482% due 09/21/36 |
200,000 | 152,028 | ||||||
2.496% due 02/13/31 |
100,000 | 84,768 | ||||||
2.572% due 10/20/32 |
100,000 | 81,801 | ||||||
2.592% due 04/29/31 |
500,000 | 423,725 | ||||||
2.651% due 03/11/32 |
100,000 | 83,552 | ||||||
2.676% due 06/19/41 |
350,000 | 247,902 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
202
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
2.831% due 10/24/51 |
$25,000 | $16,361 | ||||||
2.884% due 10/22/30 |
50,000 | 43,532 | ||||||
2.972% due 02/04/33 |
350,000 | 294,966 | ||||||
2.972% due 07/21/52 |
100,000 | 67,519 | ||||||
3.248% due 10/21/27 |
150,000 | 141,440 | ||||||
3.311% due 04/22/42 |
400,000 | 310,180 | ||||||
3.366% due 01/23/26 |
100,000 | 96,250 | ||||||
3.384% due 04/02/26 |
100,000 | 95,948 | ||||||
3.419% due 12/20/28 |
169,000 | 157,154 | ||||||
3.483% due 03/13/52 |
100,000 | 75,415 | ||||||
3.500% due 04/19/26 |
150,000 | 144,304 | ||||||
3.593% due 07/21/28 |
100,000 | 94,052 | ||||||
3.824% due 01/20/28 |
300,000 | 286,914 | ||||||
3.846% due 03/08/37 |
400,000 | 341,399 | ||||||
3.875% due 08/01/25 |
100,000 | 97,808 | ||||||
3.946% due 01/23/49 |
100,000 | 81,343 | ||||||
3.950% due 04/21/25 |
200,000 | 193,655 | ||||||
3.970% due 03/05/29 |
100,000 | 94,791 | ||||||
4.078% due 04/23/40 |
200,000 | 174,352 | ||||||
4.083% due 03/20/51 |
350,000 | 288,155 | ||||||
4.183% due 11/25/27 |
100,000 | 96,723 | ||||||
4.450% due 03/03/26 |
85,000 | 83,083 | ||||||
4.750% due 04/21/45 |
85,000 | 78,949 | ||||||
5.015% due 07/22/33 |
250,000 | 247,442 | ||||||
5.080% due 01/20/27 |
800,000 | 798,111 | ||||||
6.110% due 01/29/37 |
250,000 | 263,459 | ||||||
6.204% due 11/10/28 |
65,000 | 68,008 | ||||||
7.750% due 05/14/38 |
200,000 | 239,804 | ||||||
Bank of Montreal (Canada) |
||||||||
0.949% due 01/22/27 |
100,000 | 89,393 | ||||||
3.700% due 06/07/25 |
165,000 | 160,374 | ||||||
5.200% due 12/12/24 |
225,000 | 225,389 | ||||||
5.203% due 02/01/28 |
300,000 | 302,621 | ||||||
Bank of New York Mellon Corp. |
||||||||
0.500% due 04/26/24 |
250,000 | 237,906 | ||||||
1.600% due 04/24/25 |
300,000 | 279,029 | ||||||
2.800% due 05/04/26 |
50,000 | 47,047 | ||||||
3.000% due 10/30/28 |
55,000 | 49,765 | ||||||
3.350% due 04/25/25 |
100,000 | 96,382 | ||||||
3.400% due 05/15/24 |
100,000 | 98,341 | ||||||
4.706% due 02/01/34 |
130,000 | 128,789 | ||||||
5.802% due 10/25/28 |
500,000 | 521,347 | ||||||
Bank of Nova Scotia (Canada) |
||||||||
0.650% due 07/31/24 |
70,000 | 66,015 | ||||||
0.700% due 04/15/24 |
85,000 | 81,104 | ||||||
1.300% due 06/11/25 |
100,000 | 92,254 | ||||||
1.300% due 09/15/26 |
50,000 | 44,154 | ||||||
2.450% due 02/02/32 |
100,000 | 82,508 | ||||||
3.450% due 04/11/25 |
60,000 | 58,225 | ||||||
4.588% due 05/04/37 |
40,000 | 35,293 | ||||||
4.750% due 02/02/26 |
240,000 | 239,086 | ||||||
5.250% due 12/06/24 |
335,000 | 335,927 | ||||||
Barclays PLC (United Kingdom) |
||||||||
2.645% due 06/24/31 |
200,000 | 160,897 | ||||||
2.894% due 11/24/32 |
200,000 | 160,522 | ||||||
3.330% due 11/24/42 |
200,000 | 143,975 | ||||||
4.337% due 01/10/28 |
300,000 | 285,946 | ||||||
4.375% due 01/12/26 |
200,000 | 193,232 | ||||||
4.950% due 01/10/47 |
200,000 | 178,109 | ||||||
7.385% due 11/02/28 |
200,000 | 212,169 | ||||||
Berkshire Hathaway Finance Corp. |
||||||||
1.450% due 10/15/30 |
80,000 | 65,728 | ||||||
2.500% due 01/15/51 |
410,000 | 264,522 | ||||||
2.850% due 10/15/50 |
90,000 | 63,623 | ||||||
3.850% due 03/15/52 |
200,000 | 167,844 | ||||||
4.300% due 05/15/43 |
200,000 | 185,052 | ||||||
5.750% due 01/15/40 |
25,000 | 27,662 | ||||||
BlackRock, Inc. |
||||||||
1.900% due 01/28/31 |
15,000 | 12,469 | ||||||
2.100% due 02/25/32 |
100,000 | 83,190 | ||||||
2.400% due 04/30/30 |
45,000 | 39,517 | ||||||
3.200% due 03/15/27 |
56,000 | 53,780 |
Principal |
Value |
|||||||
3.250% due 04/30/29 |
$60,000 | $57,090 | ||||||
Blackstone Private Credit Fund |
||||||||
2.625% due 12/15/26 |
100,000 | 84,116 | ||||||
3.250% due 03/15/27 |
150,000 | 127,606 | ||||||
7.050% due 09/29/25 ~ |
50,000 | 49,365 | ||||||
Blackstone Secured Lending Fund |
100,000 | 86,645 | ||||||
Boston Properties LP REIT |
||||||||
2.450% due 10/01/33 |
50,000 | 33,697 | ||||||
2.550% due 04/01/32 |
250,000 | 178,480 | ||||||
3.250% due 01/30/31 |
150,000 | 118,825 | ||||||
Brandywine Operating Partnership LP REIT |
50,000 | 36,864 | ||||||
Brighthouse Financial, Inc. |
||||||||
3.700% due 06/22/27 |
100,000 | 91,989 | ||||||
4.700% due 06/22/47 |
50,000 | 36,610 | ||||||
Brixmor Operating Partnership LP REIT |
||||||||
2.500% due 08/16/31 |
50,000 | 38,681 | ||||||
4.050% due 07/01/30 |
10,000 | 9,043 | ||||||
4.125% due 06/15/26 |
50,000 | 47,435 | ||||||
Brookfield Finance, Inc. (Canada) |
||||||||
3.500% due 03/30/51 |
50,000 | 33,376 | ||||||
4.000% due 04/01/24 |
50,000 | 49,010 | ||||||
4.700% due 09/20/47 |
50,000 | 43,260 | ||||||
4.850% due 03/29/29 |
100,000 | 96,389 | ||||||
Brown & Brown, Inc. |
||||||||
4.200% due 03/17/32 |
35,000 | 31,500 | ||||||
4.500% due 03/15/29 |
50,000 | 48,284 | ||||||
4.950% due 03/17/52 |
200,000 | 171,375 | ||||||
Camden Property Trust REIT |
||||||||
3.150% due 07/01/29 |
30,000 | 26,705 | ||||||
4.100% due 10/15/28 |
20,000 | 19,333 | ||||||
Canadian Imperial Bank of Commerce (Canada) |
||||||||
0.950% due 10/23/25 |
20,000 | 18,116 | ||||||
1.250% due 06/22/26 |
100,000 | 88,954 | ||||||
3.100% due 04/02/24 |
150,000 | 146,574 | ||||||
3.600% due 04/07/32 |
45,000 | 40,997 | ||||||
Capital One Financial Corp. |
||||||||
1.878% due 11/02/27 |
100,000 | 86,204 | ||||||
2.618% due 11/02/32 |
100,000 | 76,289 | ||||||
3.200% due 02/05/25 |
200,000 | 188,110 | ||||||
3.300% due 10/30/24 |
100,000 | 95,530 | ||||||
3.750% due 07/28/26 |
250,000 | 227,572 | ||||||
3.750% due 03/09/27 |
50,000 | 45,545 | ||||||
3.800% due 01/31/28 |
200,000 | 183,631 | ||||||
4.927% due 05/10/28 |
100,000 | 96,165 | ||||||
4.985% due 07/24/26 |
100,000 | 96,477 | ||||||
5.468% due 02/01/29 |
65,000 | 63,407 | ||||||
CBRE Services, Inc. |
100,000 | 98,539 | ||||||
Charles Schwab Corp. |
||||||||
0.900% due 03/11/26 |
135,000 | 118,524 | ||||||
1.150% due 05/13/26 |
75,000 | 65,944 | ||||||
1.950% due 12/01/31 |
100,000 | 77,213 | ||||||
2.300% due 05/13/31 |
150,000 | 121,196 | ||||||
2.450% due 03/03/27 |
250,000 | 224,340 | ||||||
3.200% due 03/02/27 |
100,000 | 92,405 | ||||||
3.750% due 04/01/24 |
50,000 | 49,132 | ||||||
3.850% due 05/21/25 |
100,000 | 96,269 | ||||||
Chubb INA Holdings, Inc. |
||||||||
1.375% due 09/15/30 |
250,000 | 202,421 | ||||||
2.850% due 12/15/51 |
25,000 | 17,675 | ||||||
3.050% due 12/15/61 |
10,000 | 6,762 | ||||||
3.150% due 03/15/25 |
100,000 | 97,638 | ||||||
4.150% due 03/13/43 |
25,000 | 21,791 | ||||||
Citigroup, Inc. |
||||||||
0.981% due 05/01/25 |
50,000 | 47,524 | ||||||
1.122% due 01/28/27 |
750,000 | 669,095 | ||||||
1.281% due 11/03/25 |
30,000 | 28,045 | ||||||
1.462% due 06/09/27 |
100,000 | 88,867 | ||||||
2.014% due 01/25/26 |
145,000 | 136,634 | ||||||
2.520% due 11/03/32 |
70,000 | 57,036 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
203
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
2.561% due 05/01/32 |
$55,000 | $45,667 | ||||||
2.572% due 06/03/31 |
600,000 | 506,575 | ||||||
2.666% due 01/29/31 |
150,000 | 128,130 | ||||||
2.904% due 11/03/42 |
50,000 | 35,853 | ||||||
2.976% due 11/05/30 |
100,000 | 87,633 | ||||||
3.057% due 01/25/33 |
135,000 | 114,345 | ||||||
3.070% due 02/24/28 |
650,000 | 604,955 | ||||||
3.106% due 04/08/26 |
200,000 | 191,343 | ||||||
3.290% due 03/17/26 |
100,000 | 95,905 | ||||||
3.400% due 05/01/26 |
100,000 | 95,510 | ||||||
3.520% due 10/27/28 |
100,000 | 93,553 | ||||||
3.668% due 07/24/28 |
100,000 | 94,812 | ||||||
3.750% due 06/16/24 |
100,000 | 98,297 | ||||||
3.785% due 03/17/33 |
450,000 | 403,811 | ||||||
3.875% due 03/26/25 |
100,000 | 96,944 | ||||||
3.878% due 01/24/39 |
100,000 | 85,122 | ||||||
3.887% due 01/10/28 |
100,000 | 95,637 | ||||||
4.000% due 08/05/24 |
50,000 | 49,164 | ||||||
4.125% due 07/25/28 |
100,000 | 94,507 | ||||||
4.300% due 11/20/26 |
100,000 | 96,835 | ||||||
4.750% due 05/18/46 |
50,000 | 44,348 | ||||||
5.300% due 05/06/44 |
400,000 | 381,346 | ||||||
6.125% due 08/25/36 |
100,000 | 103,407 | ||||||
6.270% due 11/17/33 |
235,000 | 254,354 | ||||||
Citizens Bank NA |
250,000 | 236,135 | ||||||
CME Group, Inc. |
||||||||
3.000% due 03/15/25 |
50,000 | 48,490 | ||||||
3.750% due 06/15/28 |
100,000 | 98,025 | ||||||
4.150% due 06/15/48 |
50,000 | 45,515 | ||||||
CNA Financial Corp. |
||||||||
3.450% due 08/15/27 |
100,000 | 94,624 | ||||||
4.500% due 03/01/26 |
50,000 | 49,541 | ||||||
Comerica Bank |
250,000 | 204,344 | ||||||
Cooperatieve Rabobank UA (Netherlands) |
||||||||
3.375% due 05/21/25 |
250,000 | 241,151 | ||||||
5.250% due 05/24/41 |
200,000 | 213,151 | ||||||
Corebridge Financial, Inc. |
500,000 | 469,062 | ||||||
Corp Andina de Fomento (Multi-National) |
200,000 | 183,394 | ||||||
Corporate Office Properties LP REIT |
||||||||
2.250% due 03/15/26 |
35,000 | 30,934 | ||||||
2.900% due 12/01/33 |
65,000 | 45,406 | ||||||
Council Of Europe Development Bank |
250,000 | 247,748 | ||||||
Credit Suisse AG (Switzerland) |
||||||||
3.700% due 02/21/25 |
250,000 | 237,607 | ||||||
5.000% due 07/09/27 |
300,000 | 289,500 | ||||||
Credit Suisse Group AG (Switzerland) |
250,000 | 230,617 | ||||||
Crown Castle, Inc. REIT |
||||||||
2.100% due 04/01/31 |
200,000 | 163,533 | ||||||
3.200% due 09/01/24 |
35,000 | 34,013 | ||||||
3.250% due 01/15/51 |
200,000 | 137,964 | ||||||
3.650% due 09/01/27 |
35,000 | 33,217 | ||||||
3.700% due 06/15/26 |
35,000 | 33,763 | ||||||
3.800% due 02/15/28 |
50,000 | 47,485 | ||||||
4.000% due 03/01/27 |
40,000 | 38,778 | ||||||
4.300% due 02/15/29 |
60,000 | 57,900 | ||||||
4.450% due 02/15/26 |
35,000 | 34,564 | ||||||
4.750% due 05/15/47 |
25,000 | 21,970 | ||||||
5.000% due 01/11/28 |
35,000 | 35,297 | ||||||
CubeSmart LP REIT |
||||||||
2.000% due 02/15/31 |
15,000 | 11,806 | ||||||
3.125% due 09/01/26 |
50,000 | 47,407 | ||||||
Deutsche Bank AG (Germany) |
||||||||
2.129% due 11/24/26 |
350,000 | 301,917 | ||||||
2.552% due 01/07/28 |
150,000 | 127,465 | ||||||
3.547% due 09/18/31 |
500,000 | 410,437 |
Principal |
Value |
|||||||
3.700% due 05/30/24 |
$285,000 | $270,674 | ||||||
Digital Realty Trust LP REIT |
||||||||
3.700% due 08/15/27 |
50,000 | 46,198 | ||||||
4.450% due 07/15/28 |
100,000 | 94,168 | ||||||
Discover Bank |
250,000 | 231,095 | ||||||
Enstar Group Ltd. |
25,000 | 23,519 | ||||||
EPR Properties REIT |
30,000 | 22,488 | ||||||
Equinix, Inc. REIT |
||||||||
2.000% due 05/15/28 |
35,000 | 29,951 | ||||||
2.150% due 07/15/30 |
350,000 | 286,395 | ||||||
2.500% due 05/15/31 |
100,000 | 82,407 | ||||||
2.625% due 11/18/24 |
65,000 | 62,599 | ||||||
3.400% due 02/15/52 |
10,000 | 7,033 | ||||||
Equitable Holdings, Inc. |
300,000 | 288,433 | ||||||
ERP Operating LP REIT |
||||||||
2.850% due 11/01/26 |
70,000 | 65,476 | ||||||
3.500% due 03/01/28 |
100,000 | 93,959 | ||||||
4.500% due 06/01/45 |
75,000 | 65,099 | ||||||
Essex Portfolio LP REIT |
||||||||
2.550% due 06/15/31 |
65,000 | 53,502 | ||||||
2.650% due 03/15/32 |
30,000 | 24,505 | ||||||
3.375% due 04/15/26 |
50,000 | 47,768 | ||||||
3.875% due 05/01/24 |
50,000 | 49,329 | ||||||
4.000% due 03/01/29 |
25,000 | 23,582 | ||||||
European Bank for Reconstruction & Development (United Kingdom) |
||||||||
0.500% due 01/28/26 |
300,000 | 272,573 | ||||||
4.375% due 03/09/28 |
120,000 | 123,562 | ||||||
European Investment Bank (Multi-National) |
||||||||
0.375% due 03/26/26 |
300,000 | 271,018 | ||||||
0.625% due 10/21/27 |
250,000 | 217,896 | ||||||
0.750% due 10/26/26 |
83,000 | 74,655 | ||||||
1.250% due 02/14/31 |
300,000 | 254,339 | ||||||
1.375% due 03/15/27 |
350,000 | 320,015 | ||||||
1.625% due 03/14/25 |
230,000 | 219,470 | ||||||
1.625% due 10/09/29 |
195,000 | 172,340 | ||||||
2.250% due 06/24/24 |
250,000 | 243,620 | ||||||
2.750% due 08/15/25 |
600,000 | 583,894 | ||||||
3.750% due 02/14/33 |
325,000 | 329,163 | ||||||
3.875% due 03/15/28 |
400,000 | 403,454 | ||||||
Extra Space Storage LP REIT |
220,000 | 202,890 | ||||||
Fairfax Financial Holdings Ltd. (Canada) |
150,000 | 147,594 | ||||||
Federal Realty Investment Trust REIT |
||||||||
1.250% due 02/15/26 |
300,000 | 273,958 | ||||||
4.500% due 12/01/44 |
50,000 | 40,776 | ||||||
Fidelity National Financial, Inc. |
||||||||
3.400% due 06/15/30 |
200,000 | 175,204 | ||||||
4.500% due 08/15/28 |
50,000 | 48,469 | ||||||
Fifth Third Bancorp |
||||||||
1.707% due 11/01/27 |
155,000 | 131,111 | ||||||
2.550% due 05/05/27 |
60,000 | 51,758 | ||||||
4.772% due 07/28/30 |
200,000 | 185,156 | ||||||
8.250% due 03/01/38 |
25,000 | 28,219 | ||||||
FS KKR Capital Corp. |
||||||||
2.625% due 01/15/27 |
100,000 | 84,267 | ||||||
3.250% due 07/15/27 |
50,000 | 42,415 | ||||||
4.125% due 02/01/25 |
50,000 | 47,339 | ||||||
Globe Life, Inc. |
50,000 | 49,466 | ||||||
GLP Capital LP/GLP Financing II, Inc. REIT |
||||||||
3.250% due 01/15/32 |
50,000 | 40,613 | ||||||
4.000% due 01/15/31 |
50,000 | 42,936 | ||||||
5.250% due 06/01/25 |
25,000 | 24,438 | ||||||
5.375% due 04/15/26 |
50,000 | 48,570 | ||||||
5.750% due 06/01/28 |
25,000 | 24,418 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
204
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Goldman Sachs Group, Inc. |
||||||||
1.093% due 12/09/26 |
$290,000 | $259,909 | ||||||
1.431% due 03/09/27 |
80,000 | 71,660 | ||||||
1.542% due 09/10/27 |
100,000 | 88,054 | ||||||
1.948% due 10/21/27 |
250,000 | 223,589 | ||||||
2.383% due 07/21/32 |
70,000 | 56,878 | ||||||
2.615% due 04/22/32 |
70,000 | 58,353 | ||||||
2.640% due 02/24/28 |
250,000 | 228,273 | ||||||
2.650% due 10/21/32 |
250,000 | 206,736 | ||||||
2.908% due 07/21/42 |
60,000 | 43,034 | ||||||
3.102% due 02/24/33 |
250,000 | 214,884 | ||||||
3.210% due 04/22/42 |
60,000 | 45,290 | ||||||
3.272% due 09/29/25 |
255,000 | 247,541 | ||||||
3.436% due 02/24/43 |
450,000 | 347,753 | ||||||
3.500% due 01/23/25 |
150,000 | 145,824 | ||||||
3.500% due 04/01/25 |
100,000 | 97,156 | ||||||
3.500% due 11/16/26 |
100,000 | 95,594 | ||||||
3.615% due 03/15/28 |
200,000 | 189,403 | ||||||
3.750% due 05/22/25 |
150,000 | 145,755 | ||||||
3.750% due 02/25/26 |
60,000 | 58,370 | ||||||
3.800% due 03/15/30 |
250,000 | 233,079 | ||||||
3.814% due 04/23/29 |
150,000 | 141,030 | ||||||
3.850% due 01/26/27 |
160,000 | 154,490 | ||||||
4.017% due 10/31/38 |
100,000 | 86,665 | ||||||
4.223% due 05/01/29 |
200,000 | 191,792 | ||||||
4.411% due 04/23/39 |
450,000 | 405,462 | ||||||
4.482% due 08/23/28 |
500,000 | 489,432 | ||||||
4.750% due 10/21/45 |
100,000 | 92,499 | ||||||
6.750% due 10/01/37 |
200,000 | 216,655 | ||||||
Golub Capital BDC, Inc. |
60,000 | 51,513 | ||||||
Hartford Financial Services Group, Inc. |
100,000 | 67,473 | ||||||
Healthcare Realty Holdings LP REIT |
||||||||
2.000% due 03/15/31 |
25,000 | 19,537 | ||||||
3.100% due 02/15/30 |
50,000 | 43,399 | ||||||
Healthpeak OP LLC REIT |
||||||||
2.875% due 01/15/31 |
200,000 | 171,839 | ||||||
3.000% due 01/15/30 |
100,000 | 87,833 | ||||||
3.400% due 02/01/25 |
7,000 | 6,789 | ||||||
Hercules Capital, Inc. |
35,000 | 30,083 | ||||||
Highwoods Realty LP REIT |
||||||||
4.125% due 03/15/28 |
20,000 | 17,749 | ||||||
4.200% due 04/15/29 |
50,000 | 41,374 | ||||||
Host Hotels & Resorts LP REIT |
||||||||
3.375% due 12/15/29 |
25,000 | 21,176 | ||||||
3.500% due 09/15/30 |
100,000 | 84,577 | ||||||
HSBC Holdings PLC (United Kingdom) |
||||||||
1.645% due 04/18/26 |
250,000 | 228,495 | ||||||
2.251% due 11/22/27 |
250,000 | 221,994 | ||||||
2.357% due 08/18/31 |
250,000 | 201,704 | ||||||
2.804% due 05/24/32 |
200,000 | 163,444 | ||||||
2.848% due 06/04/31 |
200,000 | 168,136 | ||||||
2.999% due 03/10/26 |
200,000 | 188,797 | ||||||
3.900% due 05/25/26 |
200,000 | 189,983 | ||||||
3.973% due 05/22/30 |
290,000 | 261,918 | ||||||
4.250% due 08/18/25 |
200,000 | 190,383 | ||||||
4.375% due 11/23/26 |
200,000 | 191,037 | ||||||
4.762% due 03/29/33 |
300,000 | 271,437 | ||||||
5.210% due 08/11/28 |
300,000 | 297,196 | ||||||
6.254% due 03/09/34 |
200,000 | 209,262 | ||||||
6.800% due 06/01/38 |
150,000 | 156,329 | ||||||
7.336% due 11/03/26 |
200,000 | 207,710 | ||||||
HSBC USA, Inc. |
250,000 | 243,594 | ||||||
Hudson Pacific Properties LP REIT |
50,000 | 35,139 | ||||||
Huntington Bancshares, Inc. |
||||||||
2.625% due 08/06/24 |
300,000 | 281,443 | ||||||
5.023% due 05/17/33 |
70,000 | 63,784 | ||||||
ING Groep NV (Netherlands) |
||||||||
4.252% due 03/28/33 |
200,000 | 182,883 | ||||||
4.550% due 10/02/28 |
200,000 | 191,956 |
Principal |
Value |
|||||||
Inter-American Development Bank (Multi-National) |
||||||||
0.500% due 09/23/24 |
$150,000 | $141,838 | ||||||
0.625% due 07/15/25 |
700,000 | 648,783 | ||||||
0.875% due 04/20/26 |
250,000 | 228,473 | ||||||
1.125% due 07/20/28 |
300,000 | 262,585 | ||||||
1.125% due 01/13/31 |
150,000 | 124,357 | ||||||
1.750% due 03/14/25 |
300,000 | 286,725 | ||||||
2.000% due 06/02/26 |
150,000 | 141,342 | ||||||
2.000% due 07/23/26 |
100,000 | 94,233 | ||||||
3.200% due 08/07/42 |
100,000 | 87,395 | ||||||
3.250% due 07/01/24 |
175,000 | 172,443 | ||||||
3.500% due 09/14/29 |
200,000 | 197,653 | ||||||
4.000% due 01/12/28 |
100,000 | 101,196 | ||||||
Inter-American Investment Corp. (Supranational) |
150,000 | 151,066 | ||||||
Intercontinental Exchange, Inc. |
||||||||
1.850% due 09/15/32 |
65,000 | 51,016 | ||||||
2.650% due 09/15/40 |
65,000 | 47,198 | ||||||
3.000% due 09/15/60 |
65,000 | 42,876 | ||||||
3.100% due 09/15/27 |
100,000 | 94,524 | ||||||
5.200% due 06/15/62 |
350,000 | 351,396 | ||||||
International Bank for Reconstruction & Development (Multi-National) |
||||||||
0.375% due 07/28/25 |
350,000 | 322,272 | ||||||
0.500% due 10/28/25 |
200,000 | 183,341 | ||||||
0.625% due 04/22/25 |
1,100,000 | 1,025,486 | ||||||
0.750% due 11/24/27 |
195,000 | 170,447 | ||||||
0.875% due 05/14/30 |
350,000 | 288,247 | ||||||
1.125% due 09/13/28 |
160,000 | 139,674 | ||||||
1.250% due 02/10/31 |
500,000 | 418,907 | ||||||
1.375% due 04/20/28 |
250,000 | 223,446 | ||||||
1.625% due 01/15/25 |
150,000 | 143,303 | ||||||
1.625% due 11/03/31 |
190,000 | 162,052 | ||||||
1.750% due 10/23/29 |
100,000 | 88,719 | ||||||
2.500% due 03/29/32 |
200,000 | 182,615 | ||||||
3.125% due 11/20/25 |
50,000 | 48,986 | ||||||
3.125% due 06/15/27 |
600,000 | 586,362 | ||||||
3.625% due 09/21/29 |
250,000 | 248,980 | ||||||
International Finance Corp. (Multi-National) |
||||||||
0.750% due 10/08/26 |
100,000 | 90,027 | ||||||
0.750% due 08/27/30 |
250,000 | 203,174 | ||||||
1.375% due 10/16/24 |
90,000 | 86,035 | ||||||
3.625% due 09/15/25 |
67,000 | 66,502 | ||||||
Invesco Finance PLC |
200,000 | 198,138 | ||||||
Invitation Homes Operating Partnership LP REIT |
300,000 | 230,481 | ||||||
Jackson Financial, Inc. |
55,000 | 54,891 | ||||||
Jefferies Financial Group, Inc. |
||||||||
2.625% due 10/15/31 |
100,000 | 76,516 | ||||||
2.750% due 10/15/32 |
40,000 | 30,902 | ||||||
JPMorgan Chase & Co. |
||||||||
0.768% due 08/09/25 |
350,000 | 328,826 | ||||||
0.824% due 06/01/25 |
170,000 | 161,184 | ||||||
0.969% due 06/23/25 |
300,000 | 284,361 | ||||||
1.040% due 02/04/27 |
500,000 | 446,685 | ||||||
1.045% due 11/19/26 |
100,000 | 89,323 | ||||||
1.470% due 09/22/27 |
75,000 | 66,210 | ||||||
1.561% due 12/10/25 |
100,000 | 93,849 | ||||||
1.578% due 04/22/27 |
65,000 | 58,450 | ||||||
1.764% due 11/19/31 |
100,000 | 79,433 | ||||||
2.069% due 06/01/29 |
140,000 | 121,577 | ||||||
2.083% due 04/22/26 |
250,000 | 234,063 | ||||||
2.182% due 06/01/28 |
650,000 | 582,757 | ||||||
2.301% due 10/15/25 |
615,000 | 588,413 | ||||||
2.525% due 11/19/41 |
100,000 | 69,186 | ||||||
2.545% due 11/08/32 |
375,000 | 311,176 | ||||||
2.580% due 04/22/32 |
75,000 | 63,162 | ||||||
2.595% due 02/24/26 |
100,000 | 94,833 | ||||||
2.739% due 10/15/30 |
75,000 | 65,524 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
205
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
2.947% due 02/24/28 |
$60,000 | $55,668 | ||||||
2.956% due 05/13/31 |
65,000 | 56,226 | ||||||
2.963% due 01/25/33 |
100,000 | 85,587 | ||||||
3.109% due 04/22/51 |
250,000 | 177,498 | ||||||
3.157% due 04/22/42 |
300,000 | 228,567 | ||||||
3.200% due 06/15/26 |
100,000 | 95,911 | ||||||
3.328% due 04/22/52 |
70,000 | 51,432 | ||||||
3.509% due 01/23/29 |
185,000 | 173,258 | ||||||
3.540% due 05/01/28 |
100,000 | 94,647 | ||||||
3.625% due 05/13/24 |
200,000 | 197,544 | ||||||
3.702% due 05/06/30 |
150,000 | 139,596 | ||||||
3.882% due 07/24/38 |
150,000 | 132,465 | ||||||
3.964% due 11/15/48 |
100,000 | 82,970 | ||||||
4.032% due 07/24/48 |
150,000 | 126,612 | ||||||
4.080% due 04/26/26 |
250,000 | 245,592 | ||||||
4.452% due 12/05/29 |
150,000 | 145,801 | ||||||
4.851% due 07/25/28 |
500,000 | 499,524 | ||||||
4.912% due 07/25/33 |
500,000 | 497,415 | ||||||
5.500% due 10/15/40 |
100,000 | 103,528 | ||||||
5.546% due 12/15/25 |
200,000 | 201,478 | ||||||
5.600% due 07/15/41 |
100,000 | 104,206 | ||||||
5.717% due 09/14/33 |
190,000 | 194,786 | ||||||
6.400% due 05/15/38 |
300,000 | 341,363 | ||||||
KeyBank NA |
250,000 | 246,041 | ||||||
KeyCorp |
||||||||
2.250% due 04/06/27 |
350,000 | 297,755 | ||||||
4.150% due 10/29/25 |
30,000 | 28,187 | ||||||
Kimco Realty OP LLC REIT |
||||||||
2.250% due 12/01/31 |
70,000 | 54,934 | ||||||
3.700% due 10/01/49 |
25,000 | 18,037 | ||||||
4.125% due 12/01/46 |
50,000 | 38,057 | ||||||
Kite Realty Group Trust REIT |
25,000 | 22,631 | ||||||
Kreditanstalt fuer Wiederaufbau (Germany) |
||||||||
0.375% due 07/18/25 |
250,000 | 230,325 | ||||||
0.625% due 01/22/26 |
730,000 | 666,838 | ||||||
1.250% due 01/31/25 |
500,000 | 474,163 | ||||||
1.375% due 08/05/24 |
400,000 | 384,235 | ||||||
1.750% due 09/14/29 |
100,000 | 89,031 | ||||||
2.500% due 11/20/24 |
375,000 | 364,460 | ||||||
3.000% due 05/20/27 |
200,000 | 194,206 | ||||||
3.750% due 02/15/28 |
440,000 | 440,805 | ||||||
3.863% due 06/29/37 |
200,000 | 116,504 | ||||||
Landwirtschaftliche Rentenbank (Germany) |
||||||||
0.500% due 05/27/25 |
200,000 | 185,280 | ||||||
0.875% due 09/03/30 |
200,000 | 163,022 | ||||||
1.750% due 07/27/26 |
100,000 | 93,379 | ||||||
Lazard Group LLC |
||||||||
3.625% due 03/01/27 |
50,000 | 46,941 | ||||||
4.375% due 03/11/29 |
50,000 | 47,727 | ||||||
Legg Mason, Inc. |
50,000 | 49,604 | ||||||
Life Storage LP REIT |
100,000 | 91,971 | ||||||
Lincoln National Corp. |
||||||||
3.625% due 12/12/26 |
150,000 | 137,374 | ||||||
3.800% due 03/01/28 |
35,000 | 31,600 | ||||||
4.350% due 03/01/48 |
25,000 | 19,129 | ||||||
Lloyds Banking Group PLC (United Kingdom) |
||||||||
3.750% due 03/18/28 |
200,000 | 186,000 | ||||||
3.870% due 07/09/25 |
500,000 | 486,268 | ||||||
4.582% due 12/10/25 |
200,000 | 188,952 | ||||||
7.953% due 11/15/33 |
200,000 | 221,615 | ||||||
LXP Industrial Trust REIT |
70,000 | 53,989 | ||||||
M&T Bank Corp. |
65,000 | 60,206 | ||||||
Main Street Capital Corp. |
100,000 | 87,306 | ||||||
Manufacturers & Traders Trust Co. |
300,000 | 282,759 |
Principal |
Value |
|||||||
Manulife Financial Corp. (Canada) |
||||||||
3.703% due 03/16/32 |
$100,000 | $92,123 | ||||||
4.150% due 03/04/26 |
50,000 | 49,254 | ||||||
5.375% due 03/04/46 |
50,000 | 50,440 | ||||||
Markel Corp. |
||||||||
3.450% due 05/07/52 |
70,000 | 49,490 | ||||||
3.500% due 11/01/27 |
50,000 | 47,611 | ||||||
5.000% due 05/20/49 |
30,000 | 27,637 | ||||||
Marsh & McLennan Cos., Inc. |
||||||||
2.375% due 12/15/31 |
45,000 | 37,279 | ||||||
3.500% due 03/10/25 |
75,000 | 73,105 | ||||||
3.750% due 03/14/26 |
100,000 | 97,895 | ||||||
4.200% due 03/01/48 |
100,000 | 85,951 | ||||||
4.375% due 03/15/29 |
70,000 | 69,443 | ||||||
5.750% due 11/01/32 |
100,000 | 107,455 | ||||||
Mastercard, Inc. |
||||||||
1.900% due 03/15/31 |
100,000 | 85,090 | ||||||
2.000% due 11/18/31 |
200,000 | 168,966 | ||||||
2.950% due 11/21/26 |
50,000 | 47,794 | ||||||
2.950% due 06/01/29 |
50,000 | 46,405 | ||||||
2.950% due 03/15/51 |
45,000 | 33,951 | ||||||
3.650% due 06/01/49 |
50,000 | 42,753 | ||||||
3.800% due 11/21/46 |
50,000 | 43,907 | ||||||
3.950% due 02/26/48 |
15,000 | 13,520 | ||||||
MetLife, Inc. |
||||||||
4.550% due 03/23/30 |
350,000 | 346,113 | ||||||
5.700% due 06/15/35 |
100,000 | 105,954 | ||||||
5.875% due 02/06/41 |
200,000 | 208,834 | ||||||
6.375% due 06/15/34 |
100,000 | 111,758 | ||||||
Mid-America Apartments LP REIT |
||||||||
3.600% due 06/01/27 |
100,000 | 95,510 | ||||||
3.950% due 03/15/29 |
25,000 | 24,001 | ||||||
Mitsubishi UFJ Financial Group, Inc. (Japan) |
||||||||
0.962% due 10/11/25 |
200,000 | 186,388 | ||||||
1.640% due 10/13/27 |
200,000 | 175,926 | ||||||
2.048% due 07/17/30 |
200,000 | 163,621 | ||||||
2.852% due 01/19/33 |
200,000 | 165,144 | ||||||
3.677% due 02/22/27 |
100,000 | 96,211 | ||||||
3.777% due 03/02/25 |
50,000 | 48,643 | ||||||
3.850% due 03/01/26 |
200,000 | 192,031 | ||||||
3.961% due 03/02/28 |
50,000 | 48,153 | ||||||
4.050% due 09/11/28 |
150,000 | 146,288 | ||||||
4.788% due 07/18/25 |
250,000 | 247,677 | ||||||
5.441% due 02/22/34 |
200,000 | 202,232 | ||||||
5.475% due 02/22/31 |
200,000 | 201,562 | ||||||
5.719% due 02/20/26 |
500,000 | 501,633 | ||||||
Mizuho Financial Group, Inc. (Japan) |
||||||||
2.201% due 07/10/31 |
200,000 | 161,991 | ||||||
3.261% due 05/22/30 |
200,000 | 177,388 | ||||||
3.663% due 02/28/27 |
200,000 | 191,143 | ||||||
5.754% due 05/27/34 |
250,000 | 255,890 | ||||||
Morgan Stanley |
||||||||
0.864% due 10/21/25 |
70,000 | 64,976 | ||||||
1.164% due 10/21/25 |
225,000 | 210,260 | ||||||
1.512% due 07/20/27 |
100,000 | 88,952 | ||||||
1.593% due 05/04/27 |
145,000 | 130,055 | ||||||
1.794% due 02/13/32 |
65,000 | 51,069 | ||||||
2.188% due 04/28/26 |
500,000 | 469,390 | ||||||
2.239% due 07/21/32 |
100,000 | 80,309 | ||||||
2.475% due 01/21/28 |
170,000 | 155,438 | ||||||
2.484% due 09/16/36 |
100,000 | 76,035 | ||||||
2.699% due 01/22/31 |
445,000 | 383,564 | ||||||
2.720% due 07/22/25 |
565,000 | 544,888 | ||||||
2.802% due 01/25/52 |
400,000 | 264,550 | ||||||
2.943% due 01/21/33 |
135,000 | 114,474 | ||||||
3.125% due 07/27/26 |
70,000 | 66,350 | ||||||
3.217% due 04/22/42 |
55,000 | 42,530 | ||||||
3.591% due 07/22/28 |
100,000 | 94,533 | ||||||
3.622% due 04/01/31 |
200,000 | 183,030 | ||||||
3.625% due 01/20/27 |
300,000 | 289,023 | ||||||
4.300% due 01/27/45 |
100,000 | 88,555 | ||||||
4.350% due 09/08/26 |
90,000 | 87,749 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
206
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
4.431% due 01/23/30 |
$95,000 | $91,673 | ||||||
4.457% due 04/22/39 |
150,000 | 137,297 | ||||||
5.050% due 01/28/27 |
560,000 | 558,878 | ||||||
5.123% due 02/01/29 |
600,000 | 605,234 | ||||||
5.597% due 03/24/51 |
100,000 | 105,383 | ||||||
5.948% due 01/19/38 |
300,000 | 298,615 | ||||||
6.342% due 10/18/33 |
325,000 | 355,247 | ||||||
7.250% due 04/01/32 |
100,000 | 117,292 | ||||||
Morgan Stanley Domestic Holdings, Inc. |
||||||||
3.800% due 08/24/27 |
15,000 | 14,207 | ||||||
4.500% due 06/20/28 |
50,000 | 49,442 | ||||||
Nasdaq, Inc. |
||||||||
1.650% due 01/15/31 |
150,000 | 118,437 | ||||||
2.500% due 12/21/40 |
150,000 | 99,080 | ||||||
National Australia Bank Ltd. (Australia) |
250,000 | 251,734 | ||||||
National Retail Properties, Inc. REIT |
35,000 | 32,984 | ||||||
Natwest Group PLC (United Kingdom) |
||||||||
3.032% due 11/28/35 |
350,000 | 267,056 | ||||||
3.073% due 05/22/28 |
200,000 | 181,110 | ||||||
7.472% due 11/10/26 |
300,000 | 310,319 | ||||||
Nomura Holdings, Inc. (Japan) |
||||||||
1.653% due 07/14/26 |
100,000 | 87,476 | ||||||
1.851% due 07/16/25 |
200,000 | 183,168 | ||||||
2.329% due 01/22/27 |
300,000 | 265,371 | ||||||
Nordic Investment Bank (Multi-National) |
300,000 | 272,835 | ||||||
Northern Trust Corp. |
||||||||
1.950% due 05/01/30 |
75,000 | 62,582 | ||||||
3.375% due 05/08/32 |
63,000 | 57,249 | ||||||
3.650% due 08/03/28 |
50,000 | 46,838 | ||||||
4.000% due 05/10/27 |
35,000 | 34,329 | ||||||
Oaktree Specialty Lending Corp. |
50,000 | 42,798 | ||||||
Oesterreichische Kontrollbank AG (Austria) |
||||||||
0.375% due 09/17/25 |
90,000 | 82,418 | ||||||
1.500% due 02/12/25 |
300,000 | 285,425 | ||||||
4.250% due 03/01/28 |
35,000 | 35,765 | ||||||
4.625% due 11/03/25 |
70,000 | 70,969 | ||||||
Old Republic International Corp. |
55,000 | 41,343 | ||||||
Omega Healthcare Investors, Inc. REIT |
||||||||
4.500% due 01/15/25 |
25,000 | 23,974 | ||||||
4.750% due 01/15/28 |
50,000 | 46,388 | ||||||
4.950% due 04/01/24 |
100,000 | 98,853 | ||||||
ORIX Corp. (Japan) |
||||||||
3.700% due 07/18/27 |
50,000 | 47,626 | ||||||
4.000% due 04/13/32 |
100,000 | 92,158 | ||||||
Owl Rock Capital Corp. |
||||||||
2.875% due 06/11/28 |
100,000 | 81,185 | ||||||
3.750% due 07/22/25 |
100,000 | 91,299 | ||||||
4.000% due 03/30/25 |
25,000 | 23,332 | ||||||
OWL Rock Core Income Corp. |
100,000 | 97,473 | ||||||
Physicians Realty LP REIT |
50,000 | 39,443 | ||||||
Piedmont Operating Partnership LP REIT |
35,000 | 24,086 | ||||||
PNC Bank NA |
||||||||
2.950% due 02/23/25 |
300,000 | 286,525 | ||||||
4.050% due 07/26/28 |
350,000 | 331,985 | ||||||
PNC Financial Services Group, Inc. |
||||||||
2.550% due 01/22/30 |
350,000 | 298,752 | ||||||
5.068% due 01/24/34 |
40,000 | 39,492 | ||||||
Principal Financial Group, Inc. |
||||||||
3.700% due 05/15/29 |
25,000 | 23,519 | ||||||
4.625% due 09/15/42 |
100,000 | 87,335 | ||||||
5.375% due 03/15/33 |
30,000 | 30,049 | ||||||
Private Export Funding Corp. |
100,000 | 97,291 | ||||||
Progressive Corp. |
Principal |
Value |
|||||||
2.500% due 03/15/27 |
$40,000 | $36,916 | ||||||
3.000% due 03/15/32 |
50,000 | 44,724 | ||||||
3.700% due 03/15/52 |
175,000 | 140,297 | ||||||
4.000% due 03/01/29 |
25,000 | 24,519 | ||||||
4.125% due 04/15/47 |
100,000 | 88,240 | ||||||
Prologis LP REIT |
||||||||
1.250% due 10/15/30 |
55,000 | 43,295 | ||||||
1.625% due 03/15/31 |
100,000 | 79,842 | ||||||
1.750% due 02/01/31 |
20,000 | 16,189 | ||||||
2.125% due 04/15/27 |
25,000 | 22,820 | ||||||
2.125% due 10/15/50 |
40,000 | 22,786 | ||||||
2.250% due 04/15/30 |
30,000 | 25,477 | ||||||
2.250% due 01/15/32 |
50,000 | 41,179 | ||||||
2.875% due 11/15/29 |
40,000 | 35,712 | ||||||
3.000% due 04/15/50 |
25,000 | 17,383 | ||||||
3.375% due 12/15/27 |
60,000 | 57,053 | ||||||
4.375% due 02/01/29 |
15,000 | 14,674 | ||||||
Prudential Financial, Inc. |
||||||||
1.500% due 03/10/26 |
20,000 | 18,257 | ||||||
2.100% due 03/10/30 |
15,000 | 12,825 | ||||||
3.000% due 03/10/40 |
25,000 | 18,962 | ||||||
3.700% due 10/01/50 |
175,000 | 143,017 | ||||||
3.700% due 03/13/51 |
150,000 | 113,870 | ||||||
3.935% due 12/07/49 |
132,000 | 104,790 | ||||||
4.350% due 02/25/50 |
50,000 | 42,866 | ||||||
5.200% due 03/15/44 |
100,000 | 95,272 | ||||||
6.625% due 06/21/40 |
50,000 | 55,396 | ||||||
Public Storage REIT |
||||||||
0.875% due 02/15/26 |
50,000 | 44,981 | ||||||
1.500% due 11/09/26 |
50,000 | 44,914 | ||||||
2.300% due 05/01/31 |
250,000 | 209,874 | ||||||
3.094% due 09/15/27 |
30,000 | 28,243 | ||||||
Raymond James Financial, Inc. |
100,000 | 90,917 | ||||||
Realty Income Corp. REIT |
||||||||
1.800% due 03/15/33 |
50,000 | 37,179 | ||||||
2.200% due 06/15/28 |
35,000 | 30,898 | ||||||
2.850% due 12/15/32 |
30,000 | 24,832 | ||||||
3.000% due 01/15/27 |
50,000 | 46,745 | ||||||
3.875% due 04/15/25 |
150,000 | 146,297 | ||||||
4.625% due 11/01/25 |
50,000 | 49,309 | ||||||
4.850% due 03/15/30 |
65,000 | 64,100 | ||||||
4.875% due 06/01/26 |
25,000 | 24,893 | ||||||
Regency Centers LP REIT |
||||||||
3.600% due 02/01/27 |
30,000 | 28,747 | ||||||
3.700% due 06/15/30 |
35,000 | 31,627 | ||||||
4.400% due 02/01/47 |
35,000 | 28,627 | ||||||
Regions Financial Corp. |
300,000 | 246,169 | ||||||
Reinsurance Group of America, Inc. |
60,000 | 57,947 | ||||||
RenaissanceRe Finance, Inc. (Bermuda) |
30,000 | 28,609 | ||||||
Royal Bank of Canada (Canada) |
||||||||
1.150% due 06/10/25 |
490,000 | 451,065 | ||||||
1.150% due 07/14/26 |
50,000 | 44,867 | ||||||
2.050% due 01/21/27 |
100,000 | 90,608 | ||||||
3.625% due 05/04/27 |
150,000 | 143,752 | ||||||
3.970% due 07/26/24 |
75,000 | 74,014 | ||||||
4.650% due 01/27/26 |
200,000 | 197,162 | ||||||
4.900% due 01/12/28 |
150,000 | 150,095 | ||||||
Santander Holdings USA, Inc. |
||||||||
2.490% due 01/06/28 |
70,000 | 60,603 | ||||||
4.260% due 06/09/25 |
75,000 | 72,472 | ||||||
4.400% due 07/13/27 |
145,000 | 135,879 | ||||||
Santander UK Group Holdings PLC (United Kingdom) |
||||||||
1.532% due 08/21/26 |
200,000 | 178,603 | ||||||
2.896% due 03/15/32 |
200,000 | 161,662 | ||||||
Simon Property Group LP REIT |
||||||||
1.375% due 01/15/27 |
300,000 | 264,209 | ||||||
2.000% due 09/13/24 |
100,000 | 95,554 | ||||||
2.450% due 09/13/29 |
100,000 | 85,887 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
207
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
2.650% due 07/15/30 |
$100,000 | $84,710 | ||||||
3.250% due 11/30/26 |
50,000 | 47,364 | ||||||
3.250% due 09/13/49 |
100,000 | 68,280 | ||||||
3.375% due 06/15/27 |
100,000 | 94,128 | ||||||
4.250% due 11/30/46 |
50,000 | 40,701 | ||||||
5.850% due 03/08/53 |
200,000 | 199,438 | ||||||
Spirit Realty LP REIT |
50,000 | 43,029 | ||||||
Stifel Financial Corp. |
50,000 | 49,290 | ||||||
STORE Capital Corp. REIT |
150,000 | 134,498 | ||||||
Sumitomo Mitsui Financial Group, Inc. (Japan) |
||||||||
0.948% due 01/12/26 |
200,000 | 177,888 | ||||||
1.474% due 07/08/25 |
200,000 | 183,268 | ||||||
1.710% due 01/12/31 |
200,000 | 155,840 | ||||||
1.902% due 09/17/28 |
250,000 | 211,916 | ||||||
2.296% due 01/12/41 |
200,000 | 130,477 | ||||||
2.348% due 01/15/25 |
200,000 | 189,737 | ||||||
3.010% due 10/19/26 |
200,000 | 186,090 | ||||||
3.202% due 09/17/29 |
150,000 | 131,349 | ||||||
3.364% due 07/12/27 |
150,000 | 140,288 | ||||||
3.784% due 03/09/26 |
100,000 | 96,791 | ||||||
5.766% due 01/13/33 |
200,000 | 209,041 | ||||||
Sun Communities Operating LP REIT |
65,000 | 55,549 | ||||||
Synchrony Financial |
||||||||
3.700% due 08/04/26 |
50,000 | 43,719 | ||||||
3.950% due 12/01/27 |
100,000 | 84,827 | ||||||
4.875% due 06/13/25 |
100,000 | 92,672 | ||||||
Tanger Properties LP REIT |
50,000 | 45,260 | ||||||
Toronto-Dominion Bank (Canada) |
||||||||
0.700% due 09/10/24 |
350,000 | 329,242 | ||||||
0.750% due 01/06/26 |
200,000 | 178,136 | ||||||
1.200% due 06/03/26 |
100,000 | 89,155 | ||||||
4.285% due 09/13/24 |
200,000 | 197,767 | ||||||
4.693% due 09/15/27 |
200,000 | 198,105 | ||||||
5.103% due 01/09/26 |
100,000 | 100,675 | ||||||
5.156% due 01/10/28 |
500,000 | 505,518 | ||||||
Travelers Cos., Inc. |
||||||||
3.050% due 06/08/51 |
50,000 | 35,734 | ||||||
6.250% due 06/15/37 |
125,000 | 141,941 | ||||||
Travelers Property Casualty Corp. |
100,000 | 114,376 | ||||||
Truist Financial Corp. |
||||||||
1.125% due 08/03/27 |
100,000 | 84,633 | ||||||
1.200% due 08/05/25 |
135,000 | 121,487 | ||||||
1.267% due 03/02/27 |
120,000 | 105,814 | ||||||
1.887% due 06/07/29 |
125,000 | 104,477 | ||||||
1.950% due 06/05/30 |
135,000 | 108,973 | ||||||
2.500% due 08/01/24 |
300,000 | 286,902 | ||||||
3.700% due 06/05/25 |
100,000 | 95,390 | ||||||
4.000% due 05/01/25 |
100,000 | 96,582 | ||||||
4.873% due 01/26/29 |
40,000 | 39,039 | ||||||
4.916% due 07/28/33 |
100,000 | 93,284 | ||||||
U.S. Bancorp |
200,000 | 194,181 | ||||||
UDR, Inc. REIT |
||||||||
2.100% due 06/15/33 |
100,000 | 75,369 | ||||||
3.100% due 11/01/34 |
50,000 | 40,972 | ||||||
3.200% due 01/15/30 |
50,000 | 44,744 | ||||||
4.400% due 01/26/29 |
25,000 | 24,006 | ||||||
Unum Group |
||||||||
4.000% due 06/15/29 |
70,000 | 65,422 | ||||||
4.125% due 06/15/51 |
100,000 | 71,643 | ||||||
US Bancorp |
||||||||
1.375% due 07/22/30 |
150,000 | 117,561 | ||||||
1.450% due 05/12/25 |
150,000 | 138,243 | ||||||
2.491% due 11/03/36 |
200,000 | 154,524 | ||||||
3.600% due 09/11/24 |
400,000 | 387,157 | ||||||
4.548% due 07/22/28 |
100,000 | 97,526 |
Principal |
Value |
|||||||
5.850% due 10/21/33 |
$30,000 | $31,361 | ||||||
Ventas Realty LP REIT |
||||||||
3.000% due 01/15/30 |
50,000 | 43,264 | ||||||
3.250% due 10/15/26 |
100,000 | 93,578 | ||||||
4.000% due 03/01/28 |
50,000 | 47,008 | ||||||
4.125% due 01/15/26 |
31,000 | 30,097 | ||||||
Visa, Inc. |
||||||||
1.100% due 02/15/31 |
200,000 | 159,845 | ||||||
1.900% due 04/15/27 |
250,000 | 230,160 | ||||||
2.050% due 04/15/30 |
300,000 | 261,792 | ||||||
3.650% due 09/15/47 |
25,000 | 21,842 | ||||||
4.150% due 12/14/35 |
30,000 | 29,533 | ||||||
4.300% due 12/14/45 |
100,000 | 96,414 | ||||||
Voya Financial, Inc. |
||||||||
3.650% due 06/15/26 |
50,000 | 47,850 | ||||||
4.800% due 06/15/46 |
30,000 | 25,509 | ||||||
W R Berkley Corp. |
115,000 | 93,056 | ||||||
Wachovia Corp. |
200,000 | 199,954 | ||||||
Wells Fargo & Co. |
||||||||
0.805% due 05/19/25 |
25,000 | 23,751 | ||||||
2.188% due 04/30/26 |
300,000 | 281,358 | ||||||
2.393% due 06/02/28 |
500,000 | 450,564 | ||||||
2.406% due 10/30/25 |
130,000 | 123,617 | ||||||
3.000% due 04/22/26 |
150,000 | 141,797 | ||||||
3.000% due 10/23/26 |
150,000 | 140,447 | ||||||
3.068% due 04/30/41 |
500,000 | 373,387 | ||||||
3.196% due 06/17/27 |
260,000 | 244,680 | ||||||
3.350% due 03/02/33 |
390,000 | 338,363 | ||||||
3.526% due 03/24/28 |
355,000 | 335,252 | ||||||
3.908% due 04/25/26 |
250,000 | 242,838 | ||||||
4.150% due 01/24/29 |
200,000 | 191,170 | ||||||
4.478% due 04/04/31 |
200,000 | 191,595 | ||||||
4.540% due 08/15/26 |
100,000 | 98,249 | ||||||
4.611% due 04/25/53 |
250,000 | 222,088 | ||||||
4.808% due 07/25/28 |
65,000 | 64,238 | ||||||
4.897% due 07/25/33 |
65,000 | 63,486 | ||||||
5.013% due 04/04/51 |
250,000 | 235,740 | ||||||
5.606% due 01/15/44 |
100,000 | 96,598 | ||||||
Wells Fargo Bank NA |
100,000 | 112,033 | ||||||
Welltower OP LLC REIT |
||||||||
2.050% due 01/15/29 |
60,000 | 50,119 | ||||||
2.750% due 01/15/31 |
145,000 | 120,635 | ||||||
2.750% due 01/15/32 |
50,000 | 40,942 | ||||||
2.800% due 06/01/31 |
100,000 | 83,158 | ||||||
4.125% due 03/15/29 |
100,000 | 93,406 | ||||||
Westpac Banking Corp. (Australia) |
||||||||
1.953% due 11/20/28 |
100,000 | 87,102 | ||||||
2.150% due 06/03/31 |
100,000 | 84,518 | ||||||
2.700% due 08/19/26 |
150,000 | 140,823 | ||||||
2.894% due 02/04/30 |
200,000 | 187,682 | ||||||
2.963% due 11/16/40 |
200,000 | 134,548 | ||||||
3.400% due 01/25/28 |
100,000 | 95,048 | ||||||
4.043% due 08/26/27 |
100,000 | 98,378 | ||||||
4.110% due 07/24/34 |
65,000 | 58,263 | ||||||
4.421% due 07/24/39 |
45,000 | 37,809 | ||||||
5.457% due 11/18/27 |
100,000 | 103,650 | ||||||
Weyerhaeuser Co. REIT |
||||||||
4.000% due 11/15/29 |
100,000 | 94,513 | ||||||
7.375% due 03/15/32 |
100,000 | 115,005 | ||||||
Willis North America, Inc. |
||||||||
2.950% due 09/15/29 |
75,000 | 66,161 | ||||||
3.875% due 09/15/49 |
35,000 | 26,327 | ||||||
4.650% due 06/15/27 |
100,000 | 98,482 | ||||||
WP Carey, Inc. REIT |
100,000 | 97,894 | ||||||
XL Group Ltd. (Bermuda) |
50,000 | 49,835 | ||||||
|
|
|||||||
113,363,389 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
208
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Industrial - 1.8% |
||||||||
3M Co. |
||||||||
2.375% due 08/26/29 |
$300,000 | $265,352 | ||||||
2.875% due 10/15/27 |
100,000 | 93,603 | ||||||
3.250% due 08/26/49 |
200,000 | 149,149 | ||||||
4.000% due 09/14/48 |
250,000 | 211,567 | ||||||
Agilent Technologies, Inc. |
100,000 | 83,864 | ||||||
Allegion US Holding Co., Inc. |
||||||||
3.200% due 10/01/24 |
50,000 | 48,563 | ||||||
3.550% due 10/01/27 |
50,000 | 46,742 | ||||||
Amcor Flexibles North America, Inc. |
||||||||
2.690% due 05/25/31 |
65,000 | 54,125 | ||||||
4.000% due 05/17/25 |
65,000 | 63,692 | ||||||
Amphenol Corp. |
||||||||
2.050% due 03/01/25 |
25,000 | 23,819 | ||||||
2.200% due 09/15/31 |
60,000 | 49,812 | ||||||
4.350% due 06/01/29 |
50,000 | 49,888 | ||||||
Arrow Electronics, Inc. |
||||||||
3.250% due 09/08/24 |
100,000 | 97,198 | ||||||
3.875% due 01/12/28 |
25,000 | 23,745 | ||||||
Avnet, Inc. |
||||||||
4.625% due 04/15/26 |
25,000 | 24,720 | ||||||
6.250% due 03/15/28 |
100,000 | 101,869 | ||||||
Berry Global, Inc. |
200,000 | 181,699 | ||||||
Boeing Co. |
||||||||
2.196% due 02/04/26 |
500,000 | 464,128 | ||||||
2.750% due 02/01/26 |
50,000 | 47,474 | ||||||
2.950% due 02/01/30 |
100,000 | 88,342 | ||||||
3.200% due 03/01/29 |
200,000 | 182,879 | ||||||
3.250% due 02/01/28 |
50,000 | 46,614 | ||||||
3.250% due 03/01/28 |
25,000 | 23,082 | ||||||
3.550% due 03/01/38 |
15,000 | 11,936 | ||||||
3.625% due 02/01/31 |
30,000 | 27,509 | ||||||
3.625% due 03/01/48 |
10,000 | 7,184 | ||||||
3.750% due 02/01/50 |
100,000 | 75,876 | ||||||
3.825% due 03/01/59 |
50,000 | 35,341 | ||||||
3.850% due 11/01/48 |
35,000 | 26,220 | ||||||
4.875% due 05/01/25 |
85,000 | 84,869 | ||||||
5.150% due 05/01/30 |
150,000 | 151,016 | ||||||
5.705% due 05/01/40 |
200,000 | 202,528 | ||||||
5.805% due 05/01/50 |
400,000 | 403,222 | ||||||
5.875% due 02/15/40 |
50,000 | 51,743 | ||||||
5.930% due 05/01/60 |
150,000 | 150,121 | ||||||
Burlington Northern Santa Fe LLC |
||||||||
3.050% due 02/15/51 |
200,000 | 146,079 | ||||||
3.300% due 09/15/51 |
200,000 | 153,140 | ||||||
3.550% due 02/15/50 |
150,000 | 120,640 | ||||||
3.650% due 09/01/25 |
50,000 | 48,979 | ||||||
4.125% due 06/15/47 |
50,000 | 44,458 | ||||||
4.450% due 01/15/53 |
300,000 | 281,210 | ||||||
4.700% due 09/01/45 |
50,000 | 47,718 | ||||||
5.750% due 05/01/40 |
100,000 | 107,800 | ||||||
Canadian National Railway Co. (Canada) |
||||||||
2.950% due 11/21/24 |
100,000 | 97,421 | ||||||
3.850% due 08/05/32 |
100,000 | 95,188 | ||||||
6.200% due 06/01/36 |
50,000 | 56,368 | ||||||
Canadian Pacific Railway Co. (Canada) |
||||||||
2.450% due 12/02/31 |
200,000 | 173,265 | ||||||
2.900% due 02/01/25 |
150,000 | 144,545 | ||||||
3.100% due 12/02/51 |
200,000 | 143,515 | ||||||
4.000% due 06/01/28 |
35,000 | 34,417 | ||||||
4.800% due 09/15/35 |
20,000 | 19,996 | ||||||
6.125% due 09/15/15 |
30,000 | 32,271 | ||||||
Carlisle Cos., Inc. |
||||||||
2.200% due 03/01/32 |
100,000 | 77,772 | ||||||
3.750% due 12/01/27 |
50,000 | 47,574 | ||||||
Carrier Global Corp. |
||||||||
2.242% due 02/15/25 |
35,000 | 33,414 | ||||||
2.493% due 02/15/27 |
35,000 | 32,541 |
Principal |
Value |
|||||||
2.722% due 02/15/30 |
$50,000 | $43,777 | ||||||
3.377% due 04/05/40 |
15,000 | 11,944 | ||||||
3.577% due 04/05/50 |
450,000 | 341,338 | ||||||
Caterpillar Financial Services Corp. |
||||||||
0.450% due 05/17/24 |
50,000 | 47,741 | ||||||
0.800% due 11/13/25 |
60,000 | 54,775 | ||||||
0.900% due 03/02/26 |
200,000 | 181,461 | ||||||
3.400% due 05/13/25 |
100,000 | 98,001 | ||||||
Caterpillar, Inc. |
||||||||
2.600% due 04/09/30 |
500,000 | 448,573 | ||||||
3.250% due 09/19/49 |
100,000 | 79,658 | ||||||
3.803% due 08/15/42 |
100,000 | 89,237 | ||||||
CNH Industrial Capital LLC |
100,000 | 89,628 | ||||||
CNH Industrial NV (United Kingdom) |
35,000 | 33,639 | ||||||
CSX Corp. |
||||||||
3.250% due 06/01/27 |
250,000 | 238,801 | ||||||
3.400% due 08/01/24 |
200,000 | 195,684 | ||||||
4.100% due 11/15/32 |
100,000 | 96,445 | ||||||
4.500% due 03/15/49 |
65,000 | 59,342 | ||||||
4.650% due 03/01/68 |
45,000 | 40,347 | ||||||
5.500% due 04/15/41 |
75,000 | 77,308 | ||||||
Deere & Co. |
||||||||
2.875% due 09/07/49 |
15,000 | 11,353 | ||||||
3.900% due 06/09/42 |
100,000 | 92,031 | ||||||
Dover Corp. |
50,000 | 50,854 | ||||||
Eagle Materials, Inc. |
50,000 | 40,996 | ||||||
Eaton Corp. |
||||||||
4.000% due 11/02/32 |
100,000 | 95,251 | ||||||
4.150% due 03/15/33 |
55,000 | 53,235 | ||||||
Emerson Electric Co. |
||||||||
0.875% due 10/15/26 |
35,000 | 31,061 | ||||||
2.200% due 12/21/31 |
100,000 | 84,772 | ||||||
3.150% due 06/01/25 |
100,000 | 97,071 | ||||||
FedEx Corp. |
||||||||
3.100% due 08/05/29 |
50,000 | 45,931 | ||||||
3.875% due 08/01/42 |
100,000 | 81,608 | ||||||
4.200% due 10/17/28 |
100,000 | 98,625 | ||||||
4.400% due 01/15/47 |
50,000 | 43,047 | ||||||
4.750% due 11/15/45 |
50,000 | 45,217 | ||||||
5.250% due 05/15/50 |
350,000 | 343,401 | ||||||
Flex Ltd. |
||||||||
3.750% due 02/01/26 |
50,000 | 48,041 | ||||||
4.750% due 06/15/25 |
50,000 | 49,115 | ||||||
4.875% due 06/15/29 |
25,000 | 24,227 | ||||||
Fortive Corp. |
125,000 | 101,669 | ||||||
GATX Corp. |
||||||||
3.250% due 03/30/25 |
100,000 | 95,785 | ||||||
4.550% due 11/07/28 |
25,000 | 24,535 | ||||||
GE Capital International Funding Co. Unlimited Co. |
350,000 | 339,448 | ||||||
General Dynamics Corp. |
||||||||
2.250% due 06/01/31 |
5,000 | 4,313 | ||||||
2.850% due 06/01/41 |
10,000 | 7,833 | ||||||
3.750% due 05/15/28 |
180,000 | 175,807 | ||||||
4.250% due 04/01/50 |
200,000 | 187,347 | ||||||
Honeywell International, Inc. |
||||||||
1.100% due 03/01/27 |
300,000 | 269,555 | ||||||
2.300% due 08/15/24 |
100,000 | 97,136 | ||||||
2.500% due 11/01/26 |
100,000 | 95,010 | ||||||
2.700% due 08/15/29 |
60,000 | 55,305 | ||||||
Hubbell, Inc. |
50,000 | 48,346 | ||||||
Huntington Ingalls Industries, Inc. |
50,000 | 42,898 | ||||||
IDEX Corp. |
||||||||
2.625% due 06/15/31 |
100,000 | 84,422 | ||||||
3.000% due 05/01/30 |
15,000 | 13,229 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
209
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Illinois Tool Works, Inc. |
$100,000 | $102,558 | ||||||
Jabil, Inc. |
||||||||
1.700% due 04/15/26 |
65,000 | 58,416 | ||||||
3.950% due 01/12/28 |
55,000 | 51,835 | ||||||
John Deere Capital Corp. |
||||||||
0.450% due 06/07/24 |
35,000 | 33,340 | ||||||
0.625% due 09/10/24 |
70,000 | 66,286 | ||||||
1.300% due 10/13/26 |
250,000 | 225,851 | ||||||
1.750% due 03/09/27 |
50,000 | 45,468 | ||||||
2.000% due 06/17/31 |
100,000 | 83,554 | ||||||
2.350% due 03/08/27 |
50,000 | 46,474 | ||||||
2.650% due 06/10/26 |
100,000 | 95,120 | ||||||
2.800% due 09/08/27 |
50,000 | 47,085 | ||||||
3.400% due 09/11/25 |
50,000 | 48,794 | ||||||
3.450% due 03/13/25 |
50,000 | 49,209 | ||||||
3.900% due 06/07/32 |
20,000 | 19,298 | ||||||
4.150% due 09/15/27 |
100,000 | 99,530 | ||||||
4.800% due 01/09/26 |
65,000 | 66,027 | ||||||
Johnson Controls International PLC |
||||||||
3.625% due 07/02/24 |
40,000 | 39,350 | ||||||
3.900% due 02/14/26 |
19,000 | 18,519 | ||||||
4.500% due 02/15/47 |
40,000 | 35,277 | ||||||
Johnson Controls International PLC/Tyco Fire & Security Finance SCA |
||||||||
1.750% due 09/15/30 |
15,000 | 12,365 | ||||||
4.900% due 12/01/32 |
40,000 | 40,615 | ||||||
Kansas City Southern |
100,000 | 93,899 | ||||||
Kennametal, Inc. |
50,000 | 48,406 | ||||||
Keysight Technologies, Inc. |
100,000 | 98,985 | ||||||
L3Harris Technologies, Inc. |
||||||||
2.900% due 12/15/29 |
30,000 | 26,533 | ||||||
3.850% due 12/15/26 |
25,000 | 24,385 | ||||||
4.400% due 06/15/28 |
100,000 | 98,034 | ||||||
Lockheed Martin Corp. |
||||||||
3.550% due 01/15/26 |
50,000 | 49,548 | ||||||
3.600% due 03/01/35 |
25,000 | 23,376 | ||||||
3.800% due 03/01/45 |
20,000 | 17,317 | ||||||
3.900% due 06/15/32 |
45,000 | 43,797 | ||||||
4.150% due 06/15/53 |
385,000 | 350,492 | ||||||
4.500% due 05/15/36 |
20,000 | 19,791 | ||||||
4.700% due 05/15/46 |
44,000 | 43,743 | ||||||
6.150% due 09/01/36 |
100,000 | 113,486 | ||||||
Martin Marietta Materials, Inc. |
||||||||
2.500% due 03/15/30 |
65,000 | 55,269 | ||||||
3.450% due 06/01/27 |
21,000 | 19,944 | ||||||
Masco Corp. |
||||||||
2.000% due 02/15/31 |
100,000 | 80,125 | ||||||
3.500% due 11/15/27 |
100,000 | 94,415 | ||||||
Mohawk Industries, Inc. |
50,000 | 45,364 | ||||||
Norfolk Southern Corp. |
||||||||
2.300% due 05/15/31 |
250,000 | 209,719 | ||||||
3.155% due 05/15/55 |
20,000 | 13,726 | ||||||
3.800% due 08/01/28 |
30,000 | 28,903 | ||||||
3.942% due 11/01/47 |
63,000 | 51,842 | ||||||
4.550% due 06/01/53 |
145,000 | 130,651 | ||||||
4.650% due 01/15/46 |
50,000 | 45,051 | ||||||
4.837% due 10/01/41 |
50,000 | 47,013 | ||||||
Northrop Grumman Corp. |
||||||||
3.250% due 01/15/28 |
350,000 | 332,714 | ||||||
3.850% due 04/15/45 |
100,000 | 83,983 | ||||||
4.700% due 03/15/33 |
60,000 | 60,651 | ||||||
nVent Finance SARL (United Kingdom) |
50,000 | 40,612 | ||||||
Oshkosh Corp. |
15,000 | 13,270 | ||||||
Otis Worldwide Corp. |
||||||||
2.056% due 04/05/25 |
20,000 | 18,888 |
Principal |
Value |
|||||||
2.293% due 04/05/27 |
$20,000 | $18,240 | ||||||
3.112% due 02/15/40 |
50,000 | 38,842 | ||||||
3.362% due 02/15/50 |
30,000 | 22,311 | ||||||
Owens Corning |
150,000 | 139,020 | ||||||
Packaging Corp. of America |
||||||||
3.400% due 12/15/27 |
35,000 | 33,286 | ||||||
3.650% due 09/15/24 |
100,000 | 98,409 | ||||||
Parker-Hannifin Corp. |
||||||||
3.250% due 06/14/29 |
300,000 | 276,578 | ||||||
4.000% due 06/14/49 |
20,000 | 17,110 | ||||||
6.250% due 05/15/38 |
100,000 | 111,046 | ||||||
Precision Castparts Corp. |
||||||||
3.250% due 06/15/25 |
50,000 | 48,829 | ||||||
4.375% due 06/15/45 |
50,000 | 46,222 | ||||||
Raytheon Technologies Corp. |
||||||||
2.250% due 07/01/30 |
100,000 | 85,722 | ||||||
3.030% due 03/15/52 |
250,000 | 181,301 | ||||||
3.125% due 07/01/50 |
100,000 | 74,711 | ||||||
3.500% due 03/15/27 |
200,000 | 193,552 | ||||||
3.750% due 11/01/46 |
50,000 | 41,432 | ||||||
3.950% due 08/16/25 |
25,000 | 24,721 | ||||||
4.125% due 11/16/28 |
60,000 | 59,197 | ||||||
4.350% due 04/15/47 |
200,000 | 181,391 | ||||||
4.450% due 11/16/38 |
20,000 | 18,990 | ||||||
4.500% due 06/01/42 |
300,000 | 284,620 | ||||||
4.625% due 11/16/48 |
35,000 | 33,322 | ||||||
5.375% due 02/27/53 |
100,000 | 105,398 | ||||||
Regal Rexnord Corp. |
250,000 | 250,294 | ||||||
Republic Services, Inc. |
||||||||
3.200% due 03/15/25 |
100,000 | 97,218 | ||||||
3.375% due 11/15/27 |
120,000 | 114,632 | ||||||
3.950% due 05/15/28 |
100,000 | 97,321 | ||||||
Ryder System, Inc. |
||||||||
1.750% due 09/01/26 |
65,000 | 58,367 | ||||||
4.300% due 06/15/27 |
75,000 | 72,965 | ||||||
Snap-on, Inc. |
35,000 | 26,715 | ||||||
Stanley Black & Decker, Inc. |
||||||||
2.750% due 11/15/50 |
50,000 | 29,727 | ||||||
4.250% due 11/15/28 |
100,000 | 96,652 | ||||||
6.272% due 03/06/26 |
100,000 | 101,214 | ||||||
Teledyne Technologies, Inc. |
200,000 | 170,699 | ||||||
Textron, Inc. |
||||||||
3.650% due 03/15/27 |
100,000 | 95,666 | ||||||
4.000% due 03/15/26 |
25,000 | 24,630 | ||||||
Trane Technologies Financing Ltd. |
45,000 | 46,549 | ||||||
Trane Technologies Luxembourg Finance SA |
100,000 | 94,852 | ||||||
Trimble, Inc. |
50,000 | 49,735 | ||||||
Tyco Electronics Group SA (Switzerland) |
||||||||
2.500% due 02/04/32 |
45,000 | 38,443 | ||||||
4.500% due 02/13/26 |
60,000 | 60,147 | ||||||
Union Pacific Corp. |
||||||||
2.375% due 05/20/31 |
40,000 | 34,556 | ||||||
2.750% due 03/01/26 |
25,000 | 23,876 | ||||||
2.891% due 04/06/36 |
125,000 | 103,385 | ||||||
2.973% due 09/16/62 |
25,000 | 16,597 | ||||||
3.000% due 04/15/27 |
100,000 | 95,506 | ||||||
3.200% due 05/20/41 |
370,000 | 298,585 | ||||||
3.250% due 08/15/25 |
50,000 | 48,603 | ||||||
3.350% due 08/15/46 |
50,000 | 38,699 | ||||||
3.550% due 05/20/61 |
100,000 | 76,091 | ||||||
3.600% due 09/15/37 |
20,000 | 17,623 | ||||||
3.750% due 07/15/25 |
50,000 | 49,325 | ||||||
3.799% due 04/06/71 |
30,000 | 23,358 | ||||||
4.750% due 02/21/26 |
125,000 | 126,580 | ||||||
4.950% due 05/15/53 |
200,000 | 202,966 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
210
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
United Parcel Service, Inc. |
||||||||
3.400% due 11/15/46 |
$200,000 | $160,292 | ||||||
4.875% due 03/03/33 |
260,000 | 267,015 | ||||||
5.300% due 04/01/50 |
250,000 | 268,194 | ||||||
6.200% due 01/15/38 |
50,000 | 57,032 | ||||||
Vulcan Materials Co. |
||||||||
4.500% due 06/15/47 |
100,000 | 89,082 | ||||||
5.800% due 03/01/26 |
35,000 | 35,338 | ||||||
Waste Connections, Inc. |
||||||||
3.500% due 05/01/29 |
100,000 | 93,417 | ||||||
4.200% due 01/15/33 |
70,000 | 67,237 | ||||||
Waste Management, Inc. |
||||||||
0.750% due 11/15/25 |
206,000 | 187,504 | ||||||
2.950% due 06/01/41 |
35,000 | 26,833 | ||||||
3.150% due 11/15/27 |
100,000 | 95,143 | ||||||
4.625% due 02/15/33 |
200,000 | 200,592 | ||||||
Westinghouse Air Brake Technologies Corp. |
100,000 | 98,161 | ||||||
WRKCo, Inc. |
||||||||
3.000% due 09/15/24 |
100,000 | 96,835 | ||||||
4.000% due 03/15/28 |
100,000 | 95,658 | ||||||
4.200% due 06/01/32 |
50,000 | 46,070 | ||||||
Xylem, Inc. |
||||||||
3.250% due 11/01/26 |
30,000 | 28,561 | ||||||
4.375% due 11/01/46 |
25,000 | 21,851 | ||||||
|
|
|||||||
21,253,519 | ||||||||
|
|
|||||||
Technology - 1.9% |
| |||||||
Activision Blizzard, Inc. |
||||||||
1.350% due 09/15/30 |
35,000 | 28,369 | ||||||
2.500% due 09/15/50 |
100,000 | 67,122 | ||||||
3.400% due 09/15/26 |
50,000 | 48,446 | ||||||
Adobe, Inc. |
230,000 | 220,170 | ||||||
Analog Devices, Inc. |
||||||||
2.100% due 10/01/31 |
60,000 | 50,556 | ||||||
2.800% due 10/01/41 |
50,000 | 38,212 | ||||||
2.950% due 10/01/51 |
55,000 | 40,360 | ||||||
3.450% due 06/15/27 ~ |
100,000 | 96,740 | ||||||
3.500% due 12/05/26 |
100,000 | 97,138 | ||||||
Apple, Inc. |
||||||||
0.700% due 02/08/26 |
400,000 | 364,120 | ||||||
1.125% due 05/11/25 |
65,000 | 61,030 | ||||||
1.400% due 08/05/28 |
100,000 | 87,661 | ||||||
1.650% due 05/11/30 |
410,000 | 349,273 | ||||||
1.650% due 02/08/31 |
200,000 | 167,449 | ||||||
1.700% due 08/05/31 |
100,000 | 83,178 | ||||||
1.800% due 09/11/24 |
100,000 | 96,437 | ||||||
2.050% due 09/11/26 |
100,000 | 93,574 | ||||||
2.200% due 09/11/29 |
100,000 | 89,535 | ||||||
2.550% due 08/20/60 |
250,000 | 165,282 | ||||||
2.650% due 05/11/50 |
100,000 | 70,587 | ||||||
2.650% due 02/08/51 |
450,000 | 315,771 | ||||||
2.700% due 08/05/51 |
100,000 | 70,556 | ||||||
2.850% due 08/05/61 |
100,000 | 69,071 | ||||||
2.950% due 09/11/49 |
65,000 | 49,154 | ||||||
3.000% due 11/13/27 |
100,000 | 96,093 | ||||||
3.250% due 02/23/26 |
570,000 | 557,896 | ||||||
3.350% due 02/09/27 |
200,000 | 195,423 | ||||||
3.750% due 09/12/47 |
75,000 | 65,712 | ||||||
3.750% due 11/13/47 |
50,000 | 43,909 | ||||||
3.850% due 08/04/46 |
35,000 | 31,301 | ||||||
4.250% due 02/09/47 |
100,000 | 95,954 | ||||||
4.500% due 02/23/36 |
50,000 | 51,671 | ||||||
4.650% due 02/23/46 |
445,000 | 448,626 | ||||||
Applied Materials, Inc. |
||||||||
1.750% due 06/01/30 |
30,000 | 25,214 | ||||||
3.900% due 10/01/25 |
35,000 | 34,575 | ||||||
4.350% due 04/01/47 |
45,000 | 42,348 | ||||||
5.100% due 10/01/35 |
35,000 | 36,629 |
Principal |
Value |
|||||||
Autodesk, Inc. |
||||||||
2.400% due 12/15/31 |
$80,000 | $66,582 | ||||||
2.850% due 01/15/30 |
55,000 | 48,618 | ||||||
Broadcom, Inc. |
||||||||
2.450% due 02/15/31 ~ |
200,000 | 163,836 | ||||||
3.419% due 04/15/33 ~ |
250,000 | 209,355 | ||||||
3.459% due 09/15/26 |
26,000 | 24,862 | ||||||
3.500% due 02/15/41 ~ |
315,000 | 237,892 | ||||||
3.750% due 02/15/51 ~ |
140,000 | 103,320 | ||||||
4.110% due 09/15/28 |
211,000 | 201,779 | ||||||
4.150% due 04/15/32 ~ |
40,000 | 36,467 | ||||||
4.300% due 11/15/32 |
200,000 | 184,374 | ||||||
4.750% due 04/15/29 |
150,000 | 148,192 | ||||||
5.000% due 04/15/30 |
200,000 | 198,784 | ||||||
Broadridge Financial Solutions, Inc. |
50,000 | 47,838 | ||||||
CDW LLC/CDW Finance Corp. |
250,000 | 215,258 | ||||||
Dell International LLC/EMC Corp. |
||||||||
4.000% due 07/15/24 |
50,000 | 49,341 | ||||||
4.900% due 10/01/26 |
100,000 | 99,807 | ||||||
5.300% due 10/01/29 |
100,000 | 100,826 | ||||||
5.850% due 07/15/25 |
200,000 | 203,371 | ||||||
6.020% due 06/15/26 |
500,000 | 513,412 | ||||||
8.100% due 07/15/36 |
27,000 | 31,528 | ||||||
8.350% due 07/15/46 |
13,000 | 15,857 | ||||||
Electronic Arts, Inc. |
||||||||
1.850% due 02/15/31 |
30,000 | 24,766 | ||||||
2.950% due 02/15/51 |
20,000 | 13,806 | ||||||
4.800% due 03/01/26 |
50,000 | 50,393 | ||||||
Fidelity National Information Services, Inc. |
||||||||
1.150% due 03/01/26 |
350,000 | 311,734 | ||||||
1.650% due 03/01/28 |
20,000 | 17,124 | ||||||
2.250% due 03/01/31 |
50,000 | 40,032 | ||||||
3.100% due 03/01/41 |
10,000 | 7,005 | ||||||
Fiserv, Inc. |
||||||||
2.250% due 06/01/27 |
100,000 | 90,541 | ||||||
2.650% due 06/01/30 |
100,000 | 86,383 | ||||||
2.750% due 07/01/24 |
100,000 | 97,056 | ||||||
3.200% due 07/01/26 |
25,000 | 23,742 | ||||||
3.500% due 07/01/29 |
45,000 | 41,786 | ||||||
3.850% due 06/01/25 |
100,000 | 97,973 | ||||||
4.400% due 07/01/49 |
40,000 | 34,209 | ||||||
Genpact Luxembourg SARL |
25,000 | 24,243 | ||||||
Hewlett Packard Enterprise Co. |
||||||||
4.900% due 10/15/25 |
250,000 | 249,706 | ||||||
6.200% due 10/15/35 |
50,000 | 53,650 | ||||||
6.350% due 10/15/45 |
50,000 | 52,711 | ||||||
HP, Inc. |
||||||||
2.650% due 06/17/31 |
100,000 | 81,631 | ||||||
4.000% due 04/15/29 |
100,000 | 94,961 | ||||||
4.200% due 04/15/32 |
100,000 | 90,195 | ||||||
4.750% due 01/15/28 |
100,000 | 98,909 | ||||||
6.000% due 09/15/41 |
55,000 | 56,361 | ||||||
Intel Corp. |
||||||||
1.600% due 08/12/28 |
25,000 | 21,859 | ||||||
2.000% due 08/12/31 |
50,000 | 41,209 | ||||||
2.450% due 11/15/29 |
150,000 | 132,166 | ||||||
2.600% due 05/19/26 |
100,000 | 95,032 | ||||||
2.800% due 08/12/41 |
40,000 | 29,051 | ||||||
3.050% due 08/12/51 |
20,000 | 13,679 | ||||||
3.200% due 08/12/61 |
25,000 | 16,569 | ||||||
3.250% due 11/15/49 |
500,000 | 356,339 | ||||||
3.700% due 07/29/25 |
145,000 | 143,004 | ||||||
4.150% due 08/05/32 |
100,000 | 96,506 | ||||||
4.600% due 03/25/40 |
400,000 | 376,178 | ||||||
4.875% due 02/10/26 |
200,000 | 202,635 | ||||||
4.875% due 02/10/28 |
75,000 | 76,241 | ||||||
4.900% due 08/05/52 |
100,000 | 93,264 | ||||||
5.200% due 02/10/33 |
315,000 | 321,014 | ||||||
5.625% due 02/10/43 |
50,000 | 51,284 | ||||||
5.700% due 02/10/53 |
35,000 | 35,761 | ||||||
5.900% due 02/10/63 |
250,000 | 257,619 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
211
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
International Business Machines Corp. |
||||||||
2.850% due 05/15/40 |
$100,000 | $73,820 | ||||||
3.000% due 05/15/24 |
200,000 | 196,346 | ||||||
3.300% due 05/15/26 |
300,000 | 289,490 | ||||||
3.500% due 05/15/29 |
170,000 | 159,777 | ||||||
4.150% due 05/15/39 |
100,000 | 88,660 | ||||||
4.250% due 05/15/49 |
300,000 | 258,228 | ||||||
4.750% due 02/06/33 |
200,000 | 198,901 | ||||||
5.100% due 02/06/53 |
200,000 | 191,489 | ||||||
5.600% due 11/30/39 |
26,000 | 27,072 | ||||||
Intuit, Inc. |
15,000 | 12,502 | ||||||
KLA Corp. |
||||||||
4.650% due 07/15/32 |
60,000 | 60,608 | ||||||
4.950% due 07/15/52 |
100,000 | 99,229 | ||||||
Lam Research Corp. |
||||||||
4.000% due 03/15/29 |
55,000 | 53,930 | ||||||
4.875% due 03/15/49 |
25,000 | 24,787 | ||||||
Leidos, Inc. |
||||||||
2.300% due 02/15/31 |
55,000 | 44,662 | ||||||
5.750% due 03/15/33 |
45,000 | 46,018 | ||||||
Micron Technology, Inc. |
||||||||
2.703% due 04/15/32 |
20,000 | 16,026 | ||||||
3.366% due 11/01/41 |
15,000 | 10,649 | ||||||
3.477% due 11/01/51 |
25,000 | 16,324 | ||||||
6.750% due 11/01/29 |
250,000 | 265,706 | ||||||
Microsoft Corp. |
||||||||
2.400% due 08/08/26 |
250,000 | 238,058 | ||||||
2.525% due 06/01/50 |
485,000 | 343,657 | ||||||
2.675% due 06/01/60 |
166,000 | 114,775 | ||||||
2.921% due 03/17/52 |
278,000 | 211,620 | ||||||
3.125% due 11/03/25 |
100,000 | 97,572 | ||||||
3.300% due 02/06/27 |
300,000 | 294,495 | ||||||
3.450% due 08/08/36 |
72,000 | 66,670 | ||||||
3.700% due 08/08/46 |
500,000 | 454,898 | ||||||
NVIDIA Corp. |
||||||||
0.584% due 06/14/24 |
75,000 | 71,635 | ||||||
2.000% due 06/15/31 |
100,000 | 84,184 | ||||||
2.850% due 04/01/30 |
250,000 | 227,722 | ||||||
3.500% due 04/01/50 |
200,000 | 163,952 | ||||||
NXP BV/NXP Funding LLC/NXP USA, Inc. (China) |
||||||||
2.500% due 05/11/31 |
100,000 | 82,732 | ||||||
3.250% due 05/11/41 |
60,000 | 43,781 | ||||||
4.300% due 06/18/29 |
150,000 | 144,168 | ||||||
4.400% due 06/01/27 |
40,000 | 39,537 | ||||||
5.000% due 01/15/33 |
50,000 | 49,052 | ||||||
Oracle Corp. |
||||||||
1.650% due 03/25/26 |
545,000 | 500,924 | ||||||
2.300% due 03/25/28 |
70,000 | 62,670 | ||||||
2.800% due 04/01/27 |
500,000 | 465,017 | ||||||
2.875% due 03/25/31 |
75,000 | 64,216 | ||||||
2.950% due 05/15/25 |
150,000 | 144,464 | ||||||
3.250% due 11/15/27 |
350,000 | 329,109 | ||||||
3.600% due 04/01/40 |
500,000 | 388,522 | ||||||
3.650% due 03/25/41 |
80,000 | 61,793 | ||||||
3.850% due 07/15/36 |
50,000 | 42,790 | ||||||
3.850% due 04/01/60 |
300,000 | 209,722 | ||||||
3.900% due 05/15/35 |
105,000 | 91,820 | ||||||
3.950% due 03/25/51 |
120,000 | 90,475 | ||||||
4.000% due 07/15/46 |
250,000 | 191,070 | ||||||
4.100% due 03/25/61 |
95,000 | 70,033 | ||||||
4.300% due 07/08/34 |
100,000 | 91,748 | ||||||
4.375% due 05/15/55 |
200,000 | 157,701 | ||||||
6.125% due 07/08/39 |
100,000 | 104,141 | ||||||
6.250% due 11/09/32 |
200,000 | 215,220 | ||||||
6.500% due 04/15/38 |
100,000 | 108,452 | ||||||
Qorvo, Inc. |
30,000 | 27,880 | ||||||
QUALCOMM, Inc. |
||||||||
2.900% due 05/20/24 |
50,000 | 49,071 |
Principal |
Value |
|||||||
3.250% due 05/20/27 |
$50,000 | $48,392 | ||||||
3.450% due 05/20/25 |
150,000 | 147,293 | ||||||
4.250% due 05/20/32 |
20,000 | 20,018 | ||||||
4.300% due 05/20/47 |
30,000 | 27,844 | ||||||
4.500% due 05/20/52 |
45,000 | 41,988 | ||||||
4.800% due 05/20/45 |
150,000 | 149,556 | ||||||
6.000% due 05/20/53 |
350,000 | 398,122 | ||||||
Roper Technologies, Inc. |
||||||||
1.750% due 02/15/31 |
200,000 | 159,998 | ||||||
2.350% due 09/15/24 |
15,000 | 14,447 | ||||||
3.800% due 12/15/26 |
30,000 | 29,090 | ||||||
4.200% due 09/15/28 |
95,000 | 93,485 | ||||||
Salesforce, Inc. |
||||||||
0.625% due 07/15/24 |
55,000 | 52,256 | ||||||
1.500% due 07/15/28 |
65,000 | 57,342 | ||||||
1.950% due 07/15/31 |
80,000 | 67,033 | ||||||
2.700% due 07/15/41 |
60,000 | 45,120 | ||||||
2.900% due 07/15/51 |
100,000 | 71,029 | ||||||
3.050% due 07/15/61 |
50,000 | 34,367 | ||||||
ServiceNow, Inc. |
65,000 | 52,392 | ||||||
Texas Instruments, Inc. |
||||||||
1.375% due 03/12/25 |
250,000 | 236,150 | ||||||
4.150% due 05/15/48 |
100,000 | 93,116 | ||||||
TSMC Arizona Corp. (Taiwan) |
||||||||
3.125% due 10/25/41 |
200,000 | 160,905 | ||||||
3.875% due 04/22/27 |
200,000 | 196,558 | ||||||
VMware, Inc. |
||||||||
2.200% due 08/15/31 |
250,000 | 198,077 | ||||||
3.900% due 08/21/27 |
30,000 | 28,737 | ||||||
Western Digital Corp. |
||||||||
2.850% due 02/01/29 |
30,000 | 24,407 | ||||||
3.100% due 02/01/32 |
55,000 | 41,503 | ||||||
Xilinx, Inc. |
100,000 | 97,705 | ||||||
|
|
|||||||
22,461,268 | ||||||||
|
|
|||||||
Utilities - 2.1% |
| |||||||
AEP Texas, Inc. |
||||||||
3.450% due 05/15/51 |
35,000 | 25,753 | ||||||
4.700% due 05/15/32 |
100,000 | 97,816 | ||||||
AEP Transmission Co. LLC |
35,000 | 30,797 | ||||||
AES Corp. |
||||||||
1.375% due 01/15/26 |
75,000 | 67,540 | ||||||
2.450% due 01/15/31 |
100,000 | 81,508 | ||||||
Alabama Power Co. |
||||||||
3.125% due 07/15/51 |
100,000 | 71,097 | ||||||
4.150% due 08/15/44 |
90,000 | 77,489 | ||||||
4.300% due 07/15/48 |
15,000 | 13,035 | ||||||
Ameren Illinois Co. |
||||||||
3.250% due 03/01/25 |
50,000 | 48,677 | ||||||
3.800% due 05/15/28 |
50,000 | 48,675 | ||||||
3.850% due 09/01/32 |
50,000 | 47,332 | ||||||
4.150% due 03/15/46 |
50,000 | 43,255 | ||||||
American Electric Power Co., Inc. |
||||||||
1.000% due 11/01/25 |
30,000 | 27,258 | ||||||
5.950% due 11/01/32 |
100,000 | 106,493 | ||||||
American Water Capital Corp. |
||||||||
2.300% due 06/01/31 |
50,000 | 42,253 | ||||||
2.950% due 09/01/27 |
35,000 | 32,972 | ||||||
3.250% due 06/01/51 |
50,000 | 36,613 | ||||||
3.450% due 06/01/29 |
100,000 | 93,636 | ||||||
3.750% due 09/01/47 |
50,000 | 40,396 | ||||||
4.300% due 12/01/42 |
100,000 | 87,888 | ||||||
4.450% due 06/01/32 |
75,000 | 73,909 | ||||||
Appalachian Power Co. |
||||||||
3.700% due 05/01/50 |
150,000 | 116,091 | ||||||
7.000% due 04/01/38 |
150,000 | 174,329 | ||||||
Arizona Public Service Co. |
||||||||
2.200% due 12/15/31 |
65,000 | 51,786 | ||||||
2.950% due 09/15/27 |
50,000 | 46,364 | ||||||
4.500% due 04/01/42 |
100,000 | 87,038 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
212
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Atmos Energy Corp. |
||||||||
2.625% due 09/15/29 |
$150,000 | $134,376 | ||||||
3.000% due 06/15/27 |
30,000 | 28,390 | ||||||
4.150% due 01/15/43 |
64,000 | 56,806 | ||||||
4.300% due 10/01/48 |
50,000 | 44,432 | ||||||
Avangrid, Inc. |
50,000 | 48,493 | ||||||
Baltimore Gas and Electric Co. |
||||||||
2.900% due 06/15/50 |
30,000 | 20,686 | ||||||
3.200% due 09/15/49 |
70,000 | 51,535 | ||||||
3.750% due 08/15/47 |
50,000 | 39,960 | ||||||
Berkshire Hathaway Energy Co. |
||||||||
3.250% due 04/15/28 |
30,000 | 28,500 | ||||||
3.800% due 07/15/48 |
25,000 | 20,147 | ||||||
4.250% due 10/15/50 |
200,000 | 172,265 | ||||||
4.450% due 01/15/49 |
50,000 | 45,070 | ||||||
4.600% due 05/01/53 |
250,000 | 228,348 | ||||||
6.125% due 04/01/36 |
99,000 | 109,124 | ||||||
Black Hills Corp. |
||||||||
3.150% due 01/15/27 |
50,000 | 46,985 | ||||||
4.350% due 05/01/33 |
30,000 | 27,594 | ||||||
5.950% due 03/15/28 |
100,000 | 103,682 | ||||||
CenterPoint Energy Houston Electric LLC |
||||||||
2.350% due 04/01/31 |
55,000 | 46,967 | ||||||
2.400% due 09/01/26 |
50,000 | 46,595 | ||||||
3.000% due 02/01/27 |
50,000 | 47,592 | ||||||
3.350% due 04/01/51 |
85,000 | 64,931 | ||||||
CenterPoint Energy Resources Corp. |
||||||||
4.000% due 04/01/28 |
100,000 | 97,890 | ||||||
5.250% due 03/01/28 |
200,000 | 205,228 | ||||||
Commonwealth Edison Co. |
||||||||
3.150% due 03/15/32 |
35,000 | 31,370 | ||||||
3.700% due 08/15/28 |
20,000 | 19,224 | ||||||
3.750% due 08/15/47 |
50,000 | 40,896 | ||||||
3.800% due 10/01/42 |
100,000 | 84,727 | ||||||
4.900% due 02/01/33 |
45,000 | 45,881 | ||||||
Connecticut Light & Power Co. |
||||||||
0.750% due 12/01/25 |
150,000 | 134,315 | ||||||
4.150% due 06/01/45 |
25,000 | 21,707 | ||||||
Consolidated Edison Co. of New York, Inc. |
||||||||
2.400% due 06/15/31 |
50,000 | 42,396 | ||||||
3.600% due 06/15/61 |
50,000 | 37,720 | ||||||
3.950% due 03/01/43 |
100,000 | 84,395 | ||||||
3.950% due 04/01/50 |
250,000 | 207,584 | ||||||
4.000% due 12/01/28 |
100,000 | 97,811 | ||||||
4.125% due 05/15/49 |
50,000 | 41,958 | ||||||
4.300% due 12/01/56 |
50,000 | 42,089 | ||||||
4.500% due 12/01/45 |
100,000 | 89,316 | ||||||
6.150% due 11/15/52 |
70,000 | 79,017 | ||||||
Constellation Energy Generation LLC |
155,000 | 159,656 | ||||||
Consumers Energy Co. |
||||||||
3.250% due 08/15/46 |
50,000 | 37,480 | ||||||
3.600% due 08/15/32 |
65,000 | 60,209 | ||||||
3.800% due 11/15/28 |
100,000 | 96,579 | ||||||
4.350% due 04/15/49 |
100,000 | 90,548 | ||||||
Dominion Energy South Carolina, Inc. |
||||||||
4.600% due 06/15/43 |
100,000 | 92,413 | ||||||
5.300% due 05/15/33 |
50,000 | 51,996 | ||||||
5.450% due 02/01/41 |
50,000 | 51,295 | ||||||
Dominion Energy, Inc. |
||||||||
1.450% due 04/15/26 |
40,000 | 36,053 | ||||||
2.250% due 08/15/31 |
45,000 | 37,090 | ||||||
2.850% due 08/15/26 |
30,000 | 28,159 | ||||||
3.071% due 08/15/24 |
70,000 | 67,939 | ||||||
3.300% due 04/15/41 |
30,000 | 23,175 | ||||||
3.375% due 04/01/30 |
350,000 | 318,462 | ||||||
4.250% due 06/01/28 |
50,000 | 48,671 | ||||||
4.700% due 12/01/44 |
100,000 | 89,260 | ||||||
DTE Electric Co. |
Principal |
Value |
|||||||
2.250% due 03/01/30 |
$50,000 | $43,430 | ||||||
2.950% due 03/01/50 |
50,000 | 35,221 | ||||||
3.000% due 03/01/32 |
150,000 | 132,207 | ||||||
3.375% due 03/01/25 |
50,000 | 48,682 | ||||||
3.650% due 03/01/52 |
55,000 | 43,880 | ||||||
DTE Energy Co. |
75,000 | 74,203 | ||||||
Duke Energy Carolinas LLC |
||||||||
3.750% due 06/01/45 |
200,000 | 162,678 | ||||||
4.950% due 01/15/33 |
100,000 | 102,829 | ||||||
5.350% due 01/15/53 |
100,000 | 104,226 | ||||||
6.050% due 04/15/38 |
110,000 | 120,456 | ||||||
6.100% due 06/01/37 |
25,000 | 27,033 | ||||||
Duke Energy Corp. |
||||||||
2.450% due 06/01/30 |
160,000 | 136,465 | ||||||
2.550% due 06/15/31 |
100,000 | 83,773 | ||||||
3.150% due 08/15/27 |
50,000 | 47,028 | ||||||
3.300% due 06/15/41 |
100,000 | 75,492 | ||||||
3.500% due 06/15/51 |
100,000 | 73,230 | ||||||
3.950% due 08/15/47 |
50,000 | 39,820 | ||||||
4.200% due 06/15/49 |
65,000 | 53,301 | ||||||
4.500% due 08/15/32 |
180,000 | 174,189 | ||||||
Duke Energy Florida LLC |
||||||||
1.750% due 06/15/30 |
250,000 | 206,679 | ||||||
2.500% due 12/01/29 |
50,000 | 44,078 | ||||||
5.950% due 11/15/52 |
40,000 | 44,583 | ||||||
Duke Energy Indiana LLC |
||||||||
2.750% due 04/01/50 |
60,000 | 39,764 | ||||||
3.250% due 10/01/49 |
50,000 | 36,666 | ||||||
3.750% due 05/15/46 |
50,000 | 39,953 | ||||||
4.900% due 07/15/43 |
100,000 | 96,826 | ||||||
5.400% due 04/01/53 |
200,000 | 203,987 | ||||||
Duke Energy Ohio, Inc. |
35,000 | 29,269 | ||||||
Duke Energy Progress LLC |
100,000 | 96,045 | ||||||
Edison International |
||||||||
4.700% due 08/15/25 |
200,000 | 197,375 | ||||||
5.750% due 06/15/27 |
10,000 | 10,222 | ||||||
El Paso Electric Co. |
50,000 | 45,336 | ||||||
Emera US Finance LP (Canada) |
||||||||
3.550% due 06/15/26 |
35,000 | 33,386 | ||||||
4.750% due 06/15/46 |
200,000 | 162,562 | ||||||
Enel Chile SA (Chile) |
50,000 | 48,794 | ||||||
Enel Generacion Chile SA (Chile) |
50,000 | 48,912 | ||||||
Entergy Arkansas LLC |
||||||||
3.500% due 04/01/26 |
50,000 | 48,755 | ||||||
4.200% due 04/01/49 |
50,000 | 42,920 | ||||||
Entergy Corp. |
||||||||
0.900% due 09/15/25 |
150,000 | 135,157 | ||||||
2.800% due 06/15/30 |
100,000 | 86,619 | ||||||
2.950% due 09/01/26 |
30,000 | 28,211 | ||||||
Entergy Louisiana LLC |
||||||||
2.350% due 06/15/32 |
100,000 | 82,218 | ||||||
3.100% due 06/15/41 |
400,000 | 310,429 | ||||||
3.250% due 04/01/28 |
50,000 | 46,711 | ||||||
4.200% due 09/01/48 |
50,000 | 43,408 | ||||||
4.950% due 01/15/45 |
40,000 | 37,409 | ||||||
5.590% due 10/01/24 |
50,000 | 50,426 | ||||||
Essential Utilities, Inc. |
||||||||
2.400% due 05/01/31 |
100,000 | 83,385 | ||||||
5.300% due 05/01/52 |
25,000 | 24,259 | ||||||
Evergy Kansas Central, Inc. |
||||||||
3.100% due 04/01/27 |
50,000 | 47,656 | ||||||
4.100% due 04/01/43 |
100,000 | 87,884 | ||||||
5.700% due 03/15/53 |
65,000 | 68,328 | ||||||
Evergy Metro, Inc. |
50,000 | 48,323 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
213
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Eversource Energy |
||||||||
2.900% due 10/01/24 |
$50,000 | $48,246 | ||||||
2.900% due 03/01/27 |
100,000 | 93,374 | ||||||
3.300% due 01/15/28 |
100,000 | 93,841 | ||||||
3.375% due 03/01/32 |
100,000 | 89,882 | ||||||
4.200% due 06/27/24 |
55,000 | 54,495 | ||||||
4.250% due 04/01/29 |
25,000 | 24,575 | ||||||
Exelon Corp. |
||||||||
3.950% due 06/15/25 |
100,000 | 97,763 | ||||||
4.050% due 04/15/30 |
300,000 | 286,569 | ||||||
4.100% due 03/15/52 |
350,000 | 288,284 | ||||||
4.450% due 04/15/46 |
100,000 | 86,172 | ||||||
4.950% due 06/15/35 |
35,000 | 34,524 | ||||||
5.100% due 06/15/45 |
35,000 | 33,171 | ||||||
Florida Power & Light Co. |
||||||||
2.850% due 04/01/25 |
350,000 | 339,513 | ||||||
2.875% due 12/04/51 |
300,000 | 211,057 | ||||||
3.700% due 12/01/47 |
200,000 | 166,201 | ||||||
4.950% due 06/01/35 |
100,000 | 100,866 | ||||||
5.100% due 04/01/33 |
65,000 | 67,418 | ||||||
5.690% due 03/01/40 |
35,000 | 37,904 | ||||||
5.950% due 02/01/38 |
125,000 | 137,723 | ||||||
Georgia Power Co. |
||||||||
4.300% due 03/15/42 |
100,000 | 88,356 | ||||||
4.700% due 05/15/32 |
100,000 | 99,131 | ||||||
5.125% due 05/15/52 |
100,000 | 97,985 | ||||||
Indiana Michigan Power Co. |
||||||||
3.250% due 05/01/51 |
60,000 | 42,551 | ||||||
4.250% due 08/15/48 |
25,000 | 21,474 | ||||||
Interstate Power & Light Co. |
25,000 | 18,872 | ||||||
ITC Holdings Corp. |
||||||||
3.350% due 11/15/27 |
50,000 | 47,113 | ||||||
3.650% due 06/15/24 |
25,000 | 24,524 | ||||||
Kentucky Utilities Co. |
40,000 | 34,378 | ||||||
Louisville Gas & Electric Co. |
35,000 | 30,202 | ||||||
MidAmerican Energy Co. |
||||||||
3.650% due 08/01/48 |
100,000 | 81,158 | ||||||
6.750% due 12/30/31 |
100,000 | 115,195 | ||||||
Mississippi Power Co. |
25,000 | 24,077 | ||||||
National Fuel Gas Co. |
50,000 | 47,039 | ||||||
National Rural Utilities Cooperative Finance Corp. |
||||||||
1.350% due 03/15/31 |
100,000 | 77,222 | ||||||
1.650% due 06/15/31 |
200,000 | 158,694 | ||||||
4.023% due 11/01/32 |
100,000 | 94,378 | ||||||
5.450% due 10/30/25 |
100,000 | 101,928 | ||||||
8.000% due 03/01/32 |
50,000 | 59,936 | ||||||
Nevada Power Co. |
250,000 | 277,943 | ||||||
NextEra Energy Capital Holdings, Inc. |
||||||||
2.250% due 06/01/30 |
80,000 | 67,678 | ||||||
4.800% due 12/01/77 |
100,000 | 84,455 | ||||||
5.050% due 02/28/33 |
200,000 | 200,697 | ||||||
5.650% due 05/01/79 |
100,000 | 88,507 | ||||||
6.051% due 03/01/25 |
250,000 | 254,455 | ||||||
NiSource, Inc. |
||||||||
0.950% due 08/15/25 |
200,000 | 182,080 | ||||||
3.490% due 05/15/27 |
50,000 | 47,431 | ||||||
3.950% due 03/30/48 |
50,000 | 40,528 | ||||||
4.800% due 02/15/44 |
100,000 | 92,294 | ||||||
5.250% due 02/15/43 |
100,000 | 99,629 | ||||||
Northern States Power Co. |
||||||||
2.600% due 06/01/51 |
50,000 | 33,291 | ||||||
4.500% due 06/01/52 |
75,000 | 69,300 | ||||||
Oglethorpe Power Corp. |
100,000 | 91,402 | ||||||
Ohio Edison Co. |
150,000 | 171,859 |
Principal |
Value |
|||||||
Ohio Power Co. |
$65,000 | $51,691 | ||||||
Oklahoma Gas & Electric Co. |
||||||||
3.850% due 08/15/47 |
50,000 | 39,952 | ||||||
5.400% due 01/15/33 |
70,000 | 72,253 | ||||||
Oncor Electric Delivery Co. LLC |
||||||||
0.550% due 10/01/25 |
70,000 | 63,307 | ||||||
3.700% due 11/15/28 |
100,000 | 96,931 | ||||||
3.800% due 09/30/47 |
50,000 | 41,688 | ||||||
4.150% due 06/01/32 |
40,000 | 38,632 | ||||||
5.300% due 06/01/42 |
100,000 | 103,409 | ||||||
Pacific Gas & Electric Co. |
||||||||
6.150% due 01/15/33 |
45,000 | 46,240 | ||||||
6.700% due 04/01/53 |
105,000 | 108,138 | ||||||
6.750% due 01/15/53 |
100,000 | 103,566 | ||||||
Pacific Gas and Electric Co. |
||||||||
2.500% due 02/01/31 |
100,000 | 81,099 | ||||||
3.300% due 08/01/40 |
250,000 | 177,720 | ||||||
3.450% due 07/01/25 |
400,000 | 381,581 | ||||||
3.500% due 08/01/50 |
45,000 | 29,767 | ||||||
4.400% due 03/01/32 |
100,000 | 90,221 | ||||||
4.500% due 07/01/40 |
300,000 | 246,714 | ||||||
4.550% due 07/01/30 |
300,000 | 281,286 | ||||||
4.950% due 07/01/50 |
200,000 | 165,146 | ||||||
PacifiCorp |
||||||||
2.900% due 06/15/52 |
80,000 | 55,001 | ||||||
3.500% due 06/15/29 |
35,000 | 33,047 | ||||||
4.125% due 01/15/49 |
70,000 | 60,002 | ||||||
5.350% due 12/01/53 |
300,000 | 307,684 | ||||||
PECO Energy Co. |
||||||||
2.800% due 06/15/50 |
45,000 | 30,639 | ||||||
3.000% due 09/15/49 |
55,000 | 39,373 | ||||||
3.150% due 10/15/25 |
50,000 | 48,284 | ||||||
3.900% due 03/01/48 |
60,000 | 50,790 | ||||||
Piedmont Natural Gas Co., Inc. |
||||||||
3.350% due 06/01/50 |
225,000 | 159,643 | ||||||
4.650% due 08/01/43 |
35,000 | 31,231 | ||||||
PPL Electric Utilities Corp. |
||||||||
3.000% due 10/01/49 |
70,000 | 50,509 | ||||||
4.150% due 10/01/45 |
25,000 | 21,903 | ||||||
4.150% due 06/15/48 |
100,000 | 89,092 | ||||||
4.750% due 07/15/43 |
50,000 | 47,228 | ||||||
Progress Energy, Inc. |
100,000 | 115,795 | ||||||
Public Service Co. of Colorado |
||||||||
due 04/01/53 # |
115,000 | 117,317 | ||||||
2.700% due 01/15/51 |
100,000 | 66,639 | ||||||
3.700% due 06/15/28 |
50,000 | 48,394 | ||||||
3.800% due 06/15/47 |
50,000 | 41,377 | ||||||
5.250% due 06/15/31 |
200,000 | 163,539 | ||||||
Public Service Co. of New Hampshire |
30,000 | 25,381 | ||||||
Public Service Co. of Oklahoma |
100,000 | 81,860 | ||||||
Public Service Electric & Gas Co. |
100,000 | 89,439 | ||||||
Public Service Electric and Gas Co. |
||||||||
0.950% due 03/15/26 |
100,000 | 90,916 | ||||||
2.050% due 08/01/50 |
100,000 | 59,530 | ||||||
3.000% due 03/01/51 |
100,000 | 72,211 | ||||||
3.200% due 08/01/49 |
60,000 | 45,116 | ||||||
4.050% due 05/01/48 |
25,000 | 21,707 | ||||||
Public Service Enterprise Group, Inc. |
||||||||
2.450% due 11/15/31 |
100,000 | 82,853 | ||||||
2.875% due 06/15/24 |
70,000 | 68,121 | ||||||
Puget Energy, Inc. |
||||||||
3.650% due 05/15/25 |
100,000 | 96,659 | ||||||
4.224% due 03/15/32 |
70,000 | 64,162 | ||||||
Puget Sound Energy, Inc. |
||||||||
2.893% due 09/15/51 |
55,000 | 37,073 | ||||||
5.795% due 03/15/40 |
25,000 | 26,324 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
214
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
San Diego Gas & Electric Co. |
||||||||
1.700% due 10/01/30 |
$95,000 | $77,582 | ||||||
3.750% due 06/01/47 |
50,000 | 40,734 | ||||||
4.100% due 06/15/49 |
100,000 | 84,904 | ||||||
4.150% due 05/15/48 |
25,000 | 21,714 | ||||||
Sempra Energy |
||||||||
3.400% due 02/01/28 |
65,000 | 61,104 | ||||||
3.800% due 02/01/38 |
100,000 | 86,322 | ||||||
4.125% due 04/01/52 |
300,000 | 242,556 | ||||||
Southern California Edison Co. |
||||||||
2.250% due 06/01/30 |
120,000 | 102,022 | ||||||
2.850% due 08/01/29 |
75,000 | 67,132 | ||||||
2.950% due 02/01/51 |
320,000 | 216,071 | ||||||
3.650% due 03/01/28 |
50,000 | 47,263 | ||||||
3.650% due 02/01/50 |
70,000 | 54,037 | ||||||
3.700% due 08/01/25 |
30,000 | 29,255 | ||||||
3.900% due 03/15/43 |
50,000 | 40,781 | ||||||
4.125% due 03/01/48 |
10,000 | 8,293 | ||||||
4.500% due 09/01/40 |
50,000 | 44,480 | ||||||
5.300% due 03/01/28 |
200,000 | 205,163 | ||||||
Southern California Gas Co. |
50,000 | 47,016 | ||||||
Southern Co. |
||||||||
4.000% due 01/15/51 |
350,000 | 321,978 | ||||||
4.250% due 07/01/36 |
30,000 | 27,557 | ||||||
4.400% due 07/01/46 |
450,000 | 392,666 | ||||||
5.700% due 10/15/32 |
65,000 | 68,421 | ||||||
Southwest Gas Corp. |
||||||||
3.800% due 09/29/46 |
50,000 | 37,918 | ||||||
4.050% due 03/15/32 |
60,000 | 55,239 | ||||||
Southwestern Electric Power Co. |
||||||||
3.250% due 11/01/51 |
200,000 | 139,555 | ||||||
3.900% due 04/01/45 |
50,000 | 39,509 | ||||||
4.100% due 09/15/28 |
50,000 | 48,491 | ||||||
6.200% due 03/15/40 |
50,000 | 52,699 | ||||||
Southwestern Public Service Co. |
||||||||
3.300% due 06/15/24 |
50,000 | 49,001 | ||||||
3.750% due 06/15/49 |
100,000 | 78,754 | ||||||
Spire Missouri, Inc. |
60,000 | 59,927 | ||||||
Tampa Electric Co. |
||||||||
4.300% due 06/15/48 |
50,000 | 42,981 | ||||||
4.450% due 06/15/49 |
50,000 | 43,814 | ||||||
Tucson Electric Power Co. |
||||||||
3.050% due 03/15/25 |
50,000 | 48,403 | ||||||
4.850% due 12/01/48 |
100,000 | 91,602 | ||||||
Union Electric Co. |
||||||||
2.625% due 03/15/51 |
200,000 | 131,322 | ||||||
3.900% due 04/01/52 |
30,000 | 25,248 | ||||||
8.450% due 03/15/39 |
100,000 | 130,195 | ||||||
Virginia Electric & Power Co. |
||||||||
2.300% due 11/15/31 |
100,000 | 83,106 | ||||||
2.400% due 03/30/32 |
50,000 | 41,649 | ||||||
2.950% due 11/15/26 |
50,000 | 47,067 | ||||||
3.150% due 01/15/26 |
35,000 | 33,896 | ||||||
3.750% due 05/15/27 |
80,000 | 77,681 | ||||||
3.800% due 09/15/47 |
50,000 | 40,048 | ||||||
4.000% due 11/15/46 |
20,000 | 16,386 | ||||||
5.000% due 04/01/33 |
200,000 | 201,640 | ||||||
8.875% due 11/15/38 |
25,000 | 34,676 | ||||||
Washington Gas Light Co. |
25,000 | 19,180 | ||||||
WEC Energy Group, Inc. |
||||||||
2.200% due 12/15/28 |
100,000 | 87,186 | ||||||
4.750% due 01/15/28 |
50,000 | 49,982 | ||||||
Wisconsin Electric Power Co. |
10,000 | 8,812 | ||||||
Wisconsin Power & Light Co. |
||||||||
3.050% due 10/15/27 |
100,000 | 93,910 | ||||||
4.950% due 04/01/33 |
90,000 | 90,615 | ||||||
Xcel Energy, Inc. |
||||||||
4.000% due 06/15/28 |
50,000 | 48,649 |
Principal |
Value |
|||||||
4.600% due 06/01/32 |
$35,000 | $34,008 | ||||||
|
|
|||||||
24,395,385 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
306,249,900 | |||||||
|
|
|||||||
MORTGAGE-BACKED SECURITIES - 28.9% |
| |||||||
Collateralized Mortgage Obligations - Commercial - 1.8% |
| |||||||
Bank |
||||||||
1.844% due 03/15/63 |
131,250 | 104,899 | ||||||
1.997% due 11/15/53 |
250,000 | 198,191 | ||||||
2.470% due 09/15/64 |
500,000 | 410,124 | ||||||
2.649% due 01/15/63 |
200,000 | 171,245 | ||||||
2.920% due 12/15/52 |
200,000 | 174,616 | ||||||
3.175% due 09/15/60 |
200,000 | 184,376 | ||||||
Bank 2017-BNK4 |
500,000 | 469,038 | ||||||
BBCMS Mortgage Trust |
||||||||
2.299% due 02/15/54 |
300,000 | 245,658 | ||||||
2.639% due 02/15/53 |
200,000 | 171,736 | ||||||
3.662% due 04/15/55 § |
300,000 | 268,714 | ||||||
Benchmark Mortgage Trust |
||||||||
1.850% due 09/15/53 |
250,000 | 199,667 | ||||||
1.925% due 07/15/53 |
197,917 | 158,892 | ||||||
2.576% due 11/15/54 |
350,000 | 287,246 | ||||||
2.577% due 04/15/54 |
200,000 | 165,652 | ||||||
2.732% due 02/15/53 |
200,000 | 171,445 | ||||||
4.121% due 07/15/51 § |
200,000 | 190,254 | ||||||
CD Mortgage Trust |
175,000 | 161,628 | ||||||
Citigroup Commercial Mortgage Trust |
||||||||
3.372% due 10/10/47 |
285,194 | 275,342 | ||||||
3.778% due 09/10/58 |
600,000 | 575,805 | ||||||
Commercial Mortgage Trust |
||||||||
3.525% due 02/10/49 |
162,748 | 157,503 | ||||||
3.819% due 06/10/47 |
300,000 | 292,048 | ||||||
4.228% due 05/10/51 |
400,000 | 381,025 | ||||||
CSAIL Commercial Mortgage Trust |
600,000 | 552,518 | ||||||
Fannie Mae - Aces |
||||||||
1.270% due 07/25/30 |
200,000 | 162,975 | ||||||
1.464% due 02/25/31 § |
245,000 | 199,429 | ||||||
1.669% due 10/25/31 § |
250,000 | 203,648 | ||||||
1.682% due 11/25/32 § |
500,000 | 398,975 | ||||||
1.821% due 02/25/30 |
48,200 | 41,353 | ||||||
2.723% due 10/25/24 |
133,349 | 128,518 | ||||||
2.906% due 01/25/28 § |
475,301 | 447,552 | ||||||
2.980% due 08/25/29 |
499,838 | 467,804 | ||||||
2.990% due 12/25/27 § |
135,132 | 128,618 | ||||||
3.061% due 05/25/27 § |
173,782 | 166,044 | ||||||
3.631% due 08/25/30 § |
300,000 | 290,758 | ||||||
Freddie Mac |
609,000 | 586,430 | ||||||
Freddie Mac Multifamily Structured Pass-Through Certificates |
||||||||
1.350% due 05/25/30 |
575,000 | 475,878 | ||||||
1.406% due 08/25/30 |
250,000 | 206,218 | ||||||
1.477% due 04/25/30 |
107,143 | 89,827 | ||||||
1.517% due 03/25/30 |
222,222 | 187,204 | ||||||
1.547% due 10/25/30 |
200,000 | 165,852 | ||||||
1.558% due 04/25/30 |
140,000 | 117,911 | ||||||
1.621% due 12/25/30 |
186,667 | 155,413 | ||||||
1.872% due 01/25/30 |
166,667 | 144,039 | ||||||
1.940% due 02/25/35 |
352,000 | 272,336 | ||||||
2.020% due 03/25/31 |
250,000 | 213,832 | ||||||
2.361% due 10/25/36 |
250,000 | 193,364 | ||||||
2.524% due 10/25/29 |
200,000 | 181,104 | ||||||
2.673% due 03/25/26 - 09/25/29 |
800,000 | 755,569 | ||||||
2.745% due 01/25/26 |
400,000 | 383,086 | ||||||
2.862% due 05/25/26 |
495,353 | 475,026 | ||||||
2.946% due 07/25/24 |
644,569 | 629,486 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
215
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
3.171% due 10/25/24 |
$850,000 | $828,899 | ||||||
3.208% due 02/25/26 |
375,000 | 363,633 | ||||||
3.422% due 02/25/29 |
196,721 | 188,952 | ||||||
3.800% due 10/25/32 § |
350,000 | 338,762 | ||||||
3.926% due 06/25/28 |
100,000 | 98,809 | ||||||
3.990% due 08/25/33 § |
42,000 | 41,173 | ||||||
GS Mortgage Securities Trust |
1,000,000 | 952,468 | ||||||
JPMBB Commercial Mortgage Securities Trust |
600,000 | 547,457 | ||||||
JPMDB Commercial Mortgage Securities Trust |
300,000 | 246,073 | ||||||
Morgan Stanley Bank of America Merrill Lynch Trust |
||||||||
3.720% due 12/15/49 |
570,000 | 537,161 | ||||||
3.753% due 12/15/47 |
700,000 | 672,036 | ||||||
Morgan Stanley Capital I Trust |
||||||||
2.728% due 05/15/54 |
250,000 | 208,834 | ||||||
3.596% due 12/15/49 |
400,000 | 375,353 | ||||||
Wells Fargo Commercial Mortgage Trust |
||||||||
2.626% due 04/15/54 |
250,000 | 206,901 | ||||||
2.652% due 08/15/49 |
350,000 | 320,674 | ||||||
2.925% due 04/15/50 |
300,000 | 285,773 | ||||||
3.453% due 07/15/50 |
500,000 | 463,712 | ||||||
4.184% due 06/15/51 |
200,000 | 190,235 | ||||||
|
|
|||||||
20,702,776 | ||||||||
|
|
|||||||
Fannie Mae - 14.9% |
| |||||||
due 04/17/38 # |
7,650,000 | 1,914,766 | ||||||
due 04/13/53 # |
21,525,000 | 25,427,727 | ||||||
1.500% due 12/01/35 - 11/01/51 |
13,703,242 | 11,440,063 | ||||||
2.000% due 11/01/35 - 04/01/52 |
61,906,610 | 52,038,936 | ||||||
2.500% due 10/01/27 - 04/01/52 |
36,188,449 | 31,700,530 | ||||||
3.000% due 02/01/27 - 05/01/52 |
21,125,943 | 19,322,719 | ||||||
3.246% (USD LIBOR + 1.695%) |
751 | 734 | ||||||
3.500% due 10/01/25 - 06/01/52 |
13,074,776 | 12,393,725 | ||||||
3.940% (USD LIBOR + 1.690%) |
2,368 | 2,367 | ||||||
4.000% due 04/01/24 - 10/01/52 |
11,528,332 | 11,182,159 | ||||||
4.500% due 05/01/24 - 08/01/52 |
6,340,963 | 6,278,245 | ||||||
5.000% due 09/01/23 - 10/01/52 |
1,323,693 | 1,346,415 | ||||||
5.500% due 11/01/33 - 02/01/53 |
1,163,610 | 1,196,694 | ||||||
6.000% due 09/01/34 - 02/01/53 |
1,416,180 | 1,452,225 | ||||||
6.500% due 09/01/36 - 07/01/38 |
39,971 | 41,366 | ||||||
|
|
|||||||
175,738,671 | ||||||||
|
|
|||||||
Freddie Mac - 6.2% |
| |||||||
1.500% due 02/01/37 - 05/01/51 |
5,071,735 | 4,232,524 | ||||||
2.000% due 09/01/35 - 03/01/52 |
25,770,775 | 21,859,197 | ||||||
2.500% due 08/01/28 - 01/01/52 |
23,232,820 | 20,311,009 | ||||||
3.000% due 09/01/26 - 03/01/52 |
10,762,288 | 9,900,653 | ||||||
3.500% due 03/01/26 - 09/01/52 |
8,610,577 | 8,132,885 | ||||||
4.000% due 02/01/25 - 01/01/48 |
2,942,331 | 2,877,283 | ||||||
4.500% due 08/01/24 - 12/01/52 |
2,149,805 | 2,143,973 | ||||||
5.000% due 12/01/31 - 02/01/53 |
2,849,890 | 2,865,930 | ||||||
5.500% due 04/01/34 - 12/01/52 |
428,713 | 443,679 | ||||||
6.000% due 04/01/36 - 05/01/40 |
345,414 | 362,792 | ||||||
6.500% due 08/01/37 - 04/01/39 |
27,679 | 29,020 | ||||||
|
|
|||||||
73,158,945 | ||||||||
|
|
|||||||
Government National Mortgage Association - 6.0% |
| |||||||
due 04/20/53 # |
8,000,000 | 7,811,392 | ||||||
due 04/20/53 # |
5,050,000 | 4,778,831 | ||||||
2.000% due 10/20/50 - 04/20/53 |
17,598,257 | 15,002,998 | ||||||
2.500% due 01/20/43 - 05/20/52 |
17,062,224 | 15,066,924 | ||||||
3.000% due 08/20/42 - 12/20/51 |
11,307,706 | 10,419,084 | ||||||
3.500% due 10/15/41 - 06/20/52 |
8,648,972 | 8,224,296 | ||||||
4.000% due 06/15/39 - 11/20/52 |
4,580,373 | 4,463,159 |
Principal |
Value |
|||||||
4.500% due 02/15/39 - 12/20/52 |
$3,073,023 | $3,062,258 | ||||||
5.000% due 05/15/36 - 11/20/52 |
1,422,981 | 1,444,239 | ||||||
5.500% due 04/15/37 - 04/15/40 |
185,372 | 193,385 | ||||||
6.000% due 01/15/38 - 06/15/41 |
67,029 | 70,495 | ||||||
6.500% due 10/15/38 - 02/15/39 |
18,272 | 18,978 | ||||||
|
|
|||||||
70,556,039 | ||||||||
|
|
|||||||
Total Mortgage-Backed Securities |
340,156,431 | |||||||
|
|
|||||||
ASSET-BACKED SECURITIES - 0.4% |
| |||||||
American Express Credit Account Master Trust |
||||||||
0.900% due 11/15/26 |
109,000 | 102,506 | ||||||
3.750% due 08/15/27 |
350,000 | 344,046 | ||||||
Americredit Automobile Receivables Trust |
97,000 | 98,457 | ||||||
BA Credit Card Trust |
27,000 | 25,776 | ||||||
Capital One Multi-Asset Execution Trust |
350,000 | 329,600 | ||||||
Capital One Prime Auto Receivables Trust |
175,000 | 176,304 | ||||||
CarMax Auto Owner Trust |
180,000 | 180,317 | ||||||
Chase Issuance Trust |
180,000 | 177,699 | ||||||
Citibank Credit Card Issuance Trust |
250,000 | 281,463 | ||||||
Discover Card Execution Note Trust |
||||||||
1.030% due 09/15/28 |
272,000 | 242,819 | ||||||
5.030% due 10/15/27 |
100,000 | 101,378 | ||||||
Ford Credit Auto Owner Trust |
182,000 | 174,354 | ||||||
GM Financial Automobile Leasing Trust |
400,000 | 393,060 | ||||||
GM Financial Consumer Automobile Receivables Trust |
55,000 | 55,217 | ||||||
Harley-Davidson Motorcycle Trust |
300,000 | 303,131 | ||||||
Honda Auto Receivables Owner Trust |
67,000 | 67,543 | ||||||
Santander Drive Auto Receivables Trust |
300,000 | 289,662 | ||||||
Synchrony Card Funding LLC |
180,000 | 174,850 | ||||||
Toyota Auto Receivables Owner Trust |
250,000 | 238,648 | ||||||
Verizon Master Trust |
350,000 | 332,906 | ||||||
World Omni Auto Receivables Trust |
272,000 | 250,020 | ||||||
|
|
|||||||
Total Asset-Backed Securities |
4,339,756 | |||||||
|
|
|||||||
U.S. GOVERNMENT AGENCY ISSUES - 1.1% |
| |||||||
Fannie Mae |
||||||||
0.375% due 08/25/25 |
95,000 | 86,996 | ||||||
0.500% due 11/07/25 |
1,115,000 | 1,020,382 | ||||||
0.625% due 04/22/25 |
430,000 | 399,876 | ||||||
0.750% due 10/08/27 |
300,000 | 263,298 | ||||||
0.875% due 08/05/30 |
500,000 | 408,446 | ||||||
2.625% due 09/06/24 |
960,000 | 937,312 | ||||||
5.625% due 07/15/37 |
100,000 | 116,137 | ||||||
6.625% due 11/15/30 |
500,000 | 592,748 | ||||||
7.125% due 01/15/30 |
525,000 | 629,175 | ||||||
Federal Farm Credit Banks Funding Corp. |
1,000,000 | 988,082 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
216
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Federal Home Loan Bank |
||||||||
0.375% due 09/04/25 |
$475,000 | $436,476 | ||||||
0.500% due 04/14/25 |
500,000 | 465,173 | ||||||
1.250% due 12/21/26 |
300,000 | 273,303 | ||||||
5.500% due 07/15/36 |
100,000 | 114,325 | ||||||
Federal Home Loan Banks |
||||||||
3.250% due 11/16/28 |
1,000,000 | 974,200 | ||||||
4.500% due 10/03/24 |
750,000 | 751,707 | ||||||
Freddie Mac |
||||||||
0.375% due 07/21/25 |
680,000 | 625,761 | ||||||
0.375% due 09/23/25 |
825,000 | 753,906 | ||||||
1.500% due 02/12/25 |
1,250,000 | 1,190,086 | ||||||
2.750% due 06/28/24 |
850,000 | 832,213 | ||||||
6.250% due 07/15/32 |
475,000 | 566,636 | ||||||
Tennessee Valley Authority |
||||||||
3.500% due 12/15/42 |
100,000 | 84,912 | ||||||
3.875% due 03/15/28 |
318,000 | 318,228 | ||||||
4.250% due 09/15/65 |
200,000 | 188,161 | ||||||
5.250% due 09/15/39 |
25,000 | 26,710 | ||||||
5.375% due 04/01/56 |
50,000 | 56,593 | ||||||
6.750% due 11/01/25 |
150,000 | 159,922 | ||||||
7.125% due 05/01/30 |
50,000 | 59,253 | ||||||
|
|
|||||||
Total U.S. Government Agency Issues |
|
13,320,017 | ||||||
|
|
|||||||
U.S. TREASURY OBLIGATIONS - 40.8% |
| |||||||
U.S. Treasury Bonds - 8.2% |
| |||||||
1.125% due 05/15/40 |
1,750,000 | 1,166,006 | ||||||
1.125% due 08/15/40 |
3,700,000 | 2,448,793 | ||||||
1.250% due 05/15/50 |
3,350,000 | 1,949,543 | ||||||
1.375% due 11/15/40 |
4,500,000 | 3,103,418 | ||||||
1.375% due 08/15/50 |
3,600,000 | 2,164,078 | ||||||
1.625% due 11/15/50 |
3,100,000 | 1,989,813 | ||||||
1.750% due 08/15/41 |
4,750,000 | 3,443,008 | ||||||
1.875% due 02/15/41 |
3,100,000 | 2,321,186 | ||||||
1.875% due 02/15/51 |
3,100,000 | 2,119,141 | ||||||
1.875% due 11/15/51 |
2,900,000 | 1,976,021 | ||||||
2.000% due 11/15/41 |
4,500,000 | 3,399,873 | ||||||
2.000% due 02/15/50 |
2,250,000 | 1,596,094 | ||||||
2.000% due 08/15/51 |
4,200,000 | 2,956,160 | ||||||
2.250% due 05/15/41 |
1,200,000 | 954,023 | ||||||
2.250% due 08/15/46 |
2,150,000 | 1,624,258 | ||||||
2.250% due 08/15/49 |
2,850,000 | 2,144,848 | ||||||
2.250% due 02/15/52 |
2,700,000 | 2,014,770 | ||||||
2.375% due 02/15/42 |
3,250,000 | 2,615,298 | ||||||
2.375% due 11/15/49 |
1,950,000 | 1,507,746 | ||||||
2.375% due 05/15/51 |
3,500,000 | 2,689,053 | ||||||
2.500% due 02/15/45 |
2,800,000 | 2,236,445 | ||||||
2.500% due 02/15/46 |
2,600,000 | 2,067,203 | ||||||
2.500% due 05/15/46 |
1,000,000 | 794,844 | ||||||
2.750% due 08/15/42 |
450,000 | 383,256 | ||||||
2.750% due 11/15/42 |
1,850,000 | 1,570,368 | ||||||
2.750% due 11/15/47 |
2,500,000 | 2,081,689 | ||||||
2.875% due 08/15/45 |
1,000,000 | 852,949 | ||||||
2.875% due 05/15/49 |
1,275,000 | 1,091,818 | ||||||
2.875% due 05/15/52 |
2,750,000 | 2,353,667 | ||||||
3.000% due 05/15/42 |
1,075,000 | 955,469 | ||||||
3.000% due 05/15/45 |
1,500,000 | 1,307,490 | ||||||
3.000% due 11/15/45 |
1,900,000 | 1,654,967 | ||||||
3.000% due 02/15/47 |
500,000 | 435,488 | ||||||
3.000% due 05/15/47 |
1,700,000 | 1,480,859 | ||||||
3.000% due 02/15/48 |
2,000,000 | 1,745,938 | ||||||
3.000% due 08/15/48 |
1,500,000 | 1,310,859 | ||||||
3.000% due 02/15/49 |
2,000,000 | 1,752,188 | ||||||
3.000% due 08/15/52 |
1,500,000 | 1,318,125 | ||||||
3.125% due 11/15/41 |
975,000 | 889,573 | ||||||
3.125% due 02/15/43 |
1,000,000 | 899,980 | ||||||
3.125% due 08/15/44 |
600,000 | 535,805 | ||||||
3.125% due 05/15/48 |
2,700,000 | 2,411,648 | ||||||
3.250% due 05/15/42 |
1,000,000 | 923,203 |
Principal |
Value |
|||||||
3.375% due 08/15/42 |
$3,000,000 | $2,818,125 | ||||||
3.625% due 08/15/43 |
1,525,000 | 1,481,514 | ||||||
3.625% due 02/15/44 |
500,000 | 484,082 | ||||||
3.625% due 02/15/53 |
1,350,000 | 1,340,613 | ||||||
3.750% due 08/15/41 |
1,300,000 | 1,299,111 | ||||||
3.750% due 11/15/43 |
1,000,000 | 988,574 | ||||||
3.875% due 02/15/43 |
750,000 | 756,855 | ||||||
4.000% due 11/15/52 |
2,200,000 | 2,335,438 | ||||||
4.250% due 11/15/40 |
750,000 | 805,781 | ||||||
4.375% due 05/15/40 |
1,025,000 | 1,119,452 | ||||||
4.375% due 05/15/41 |
775,000 | 843,842 | ||||||
4.500% due 02/15/36 |
1,750,000 | 1,947,388 | ||||||
4.500% due 05/15/38 |
500,000 | 554,922 | ||||||
4.500% due 08/15/39 |
700,000 | 777,807 | ||||||
4.750% due 02/15/41 |
1,350,000 | 1,539,053 | ||||||
5.375% due 02/15/31 |
1,100,000 | 1,240,852 | ||||||
6.250% due 05/15/30 |
1,050,000 | 1,227,905 | ||||||
|
|
|||||||
96,798,275 | ||||||||
|
|
|||||||
U.S. Treasury Notes - 32.6% |
| |||||||
0.250% due 06/15/24 |
2,500,000 | 2,378,174 | ||||||
0.250% due 05/31/25 |
2,750,000 | 2,538,271 | ||||||
0.250% due 06/30/25 |
3,500,000 | 3,226,904 | ||||||
0.250% due 07/31/25 |
5,000,000 | 4,593,262 | ||||||
0.250% due 08/31/25 |
3,500,000 | 3,207,285 | ||||||
0.250% due 09/30/25 |
4,200,000 | 3,844,641 | ||||||
0.250% due 10/31/25 |
6,000,000 | 5,472,305 | ||||||
0.375% due 07/15/24 |
5,000,000 | 4,750,684 | ||||||
0.375% due 04/30/25 |
3,000,000 | 2,783,320 | ||||||
0.375% due 11/30/25 |
2,500,000 | 2,281,201 | ||||||
0.375% due 12/31/25 |
3,500,000 | 3,191,221 | ||||||
0.375% due 01/31/26 |
4,000,000 | 3,632,188 | ||||||
0.500% due 03/31/25 |
3,000,000 | 2,798,848 | ||||||
0.500% due 02/28/26 |
3,500,000 | 3,182,061 | ||||||
0.500% due 05/31/27 |
3,500,000 | 3,072,412 | ||||||
0.500% due 06/30/27 |
1,000,000 | 876,172 | ||||||
0.500% due 08/31/27 |
2,500,000 | 2,179,785 | ||||||
0.500% due 10/31/27 |
2,000,000 | 1,736,094 | ||||||
0.625% due 10/15/24 |
2,750,000 | 2,601,650 | ||||||
0.625% due 07/31/26 |
3,250,000 | 2,932,554 | ||||||
0.625% due 12/31/27 |
5,000,000 | 4,349,902 | ||||||
0.625% due 05/15/30 |
3,350,000 | 2,743,467 | ||||||
0.625% due 08/15/30 |
3,400,000 | 2,771,730 | ||||||
0.750% due 11/15/24 |
3,500,000 | 3,309,687 | ||||||
0.750% due 03/31/26 |
2,500,000 | 2,287,891 | ||||||
0.750% due 04/30/26 |
2,500,000 | 2,279,883 | ||||||
0.750% due 05/31/26 |
3,000,000 | 2,729,648 | ||||||
0.750% due 08/31/26 |
3,000,000 | 2,712,188 | ||||||
0.750% due 01/31/28 |
2,500,000 | 2,184,326 | ||||||
0.875% due 06/30/26 |
4,500,000 | 4,104,580 | ||||||
0.875% due 09/30/26 |
2,950,000 | 2,672,516 | ||||||
0.875% due 11/15/30 |
4,250,000 | 3,519,614 | ||||||
1.000% due 12/15/24 |
2,000,000 | 1,895,820 | ||||||
1.000% due 07/31/28 |
2,000,000 | 1,748,711 | ||||||
1.125% due 01/15/25 |
3,000,000 | 2,843,906 | ||||||
1.125% due 02/28/25 |
3,500,000 | 3,310,371 | ||||||
1.125% due 10/31/26 |
5,000,000 | 4,561,719 | ||||||
1.125% due 02/28/27 |
750,000 | 680,889 | ||||||
1.125% due 02/29/28 |
2,750,000 | 2,443,042 | ||||||
1.125% due 08/31/28 |
2,750,000 | 2,415,435 | ||||||
1.125% due 02/15/31 |
3,500,000 | 2,948,408 | ||||||
1.250% due 08/31/24 |
3,250,000 | 3,112,954 | ||||||
1.250% due 11/30/26 |
5,000,000 | 4,575,293 | ||||||
1.250% due 12/31/26 |
3,500,000 | 3,197,988 | ||||||
1.250% due 03/31/28 |
4,000,000 | 3,568,984 | ||||||
1.250% due 04/30/28 |
2,500,000 | 2,226,709 | ||||||
1.250% due 05/31/28 |
3,000,000 | 2,668,535 | ||||||
1.250% due 06/30/28 |
1,500,000 | 1,331,807 | ||||||
1.250% due 09/30/28 |
3,000,000 | 2,648,027 | ||||||
1.250% due 08/15/31 |
5,500,000 | 4,615,059 | ||||||
1.375% due 01/31/25 |
4,000,000 | 3,807,891 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
217
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
1.375% due 08/31/26 |
$3,500,000 | $3,231,895 | ||||||
1.375% due 10/31/28 |
5,000,000 | 4,437,402 | ||||||
1.375% due 12/31/28 |
2,400,000 | 2,126,484 | ||||||
1.375% due 11/15/31 |
7,500,000 | 6,332,520 | ||||||
1.500% due 09/30/24 |
3,000,000 | 2,879,297 | ||||||
1.500% due 10/31/24 |
2,000,000 | 1,916,484 | ||||||
1.500% due 02/15/25 |
2,000,000 | 1,905,859 | ||||||
1.500% due 08/15/26 |
3,200,000 | 2,971,187 | ||||||
1.500% due 01/31/27 |
3,500,000 | 3,223,145 | ||||||
1.500% due 11/30/28 |
2,500,000 | 2,230,713 | ||||||
1.500% due 02/15/30 |
3,250,000 | 2,850,098 | ||||||
1.625% due 02/15/26 |
1,900,000 | 1,787,521 | ||||||
1.625% due 05/15/26 |
1,300,000 | 1,217,607 | ||||||
1.625% due 10/31/26 |
5,500,000 | 5,111,025 | ||||||
1.625% due 08/15/29 |
2,000,000 | 1,784,531 | ||||||
1.625% due 05/15/31 |
6,000,000 | 5,216,484 | ||||||
1.750% due 12/31/24 |
1,600,000 | 1,535,469 | ||||||
1.750% due 03/15/25 |
1,500,000 | 1,435,049 | ||||||
1.750% due 12/31/26 |
2,500,000 | 2,328,516 | ||||||
1.750% due 01/31/29 |
1,500,000 | 1,354,365 | ||||||
1.875% due 08/31/24 |
3,000,000 | 2,899,043 | ||||||
1.875% due 07/31/26 |
1,000,000 | 941,094 | ||||||
1.875% due 02/28/27 |
3,000,000 | 2,800,020 | ||||||
1.875% due 02/28/29 |
3,000,000 | 2,726,309 | ||||||
1.875% due 02/15/32 |
3,500,000 | 3,072,754 | ||||||
2.000% due 05/31/24 |
3,500,000 | 3,403,066 | ||||||
2.000% due 02/15/25 |
2,000,000 | 1,923,516 | ||||||
2.000% due 11/15/26 |
1,000,000 | 940,859 | ||||||
2.125% due 05/15/25 |
3,500,000 | 3,365,879 | ||||||
2.125% due 05/31/26 |
3,000,000 | 2,852,109 | ||||||
2.250% due 04/30/24 |
3,250,000 | 3,169,931 | ||||||
2.250% due 10/31/24 |
800,000 | 775,516 | ||||||
2.250% due 11/15/24 |
2,000,000 | 1,937,852 | ||||||
2.250% due 12/31/24 |
2,500,000 | 2,418,994 | ||||||
2.250% due 11/15/25 |
2,200,000 | 2,111,656 | ||||||
2.250% due 08/15/27 |
4,200,000 | 3,963,504 | ||||||
2.250% due 11/15/27 |
2,300,000 | 2,164,201 | ||||||
2.375% due 08/15/24 |
9,550,000 | 9,298,939 | ||||||
2.375% due 04/30/26 |
1,000,000 | 959,414 | ||||||
2.375% due 05/15/27 |
2,750,000 | 2,612,983 | ||||||
2.375% due 03/31/29 |
2,675,000 | 2,498,042 | ||||||
2.375% due 05/15/29 |
1,000,000 | 933,320 | ||||||
2.500% due 05/15/24 |
5,000,000 | 4,891,602 | ||||||
2.500% due 05/31/24 |
1,500,000 | 1,466,836 | ||||||
2.500% due 01/31/25 |
4,000,000 | 3,885,234 | ||||||
2.500% due 03/31/27 |
2,500,000 | 2,388,330 | ||||||
2.625% due 04/15/25 |
2,000,000 | 1,944,141 | ||||||
2.625% due 05/31/27 |
2,500,000 | 2,397,705 | ||||||
2.625% due 02/15/29 |
2,750,000 | 2,608,364 | ||||||
2.625% due 07/31/29 |
2,000,000 | 1,892,109 | ||||||
2.750% due 04/30/27 |
2,000,000 | 1,928,086 | ||||||
2.750% due 07/31/27 |
1,500,000 | 1,444,922 | ||||||
2.750% due 02/15/28 |
3,500,000 | 3,362,939 | ||||||
2.750% due 05/31/29 |
2,000,000 | 1,906,797 | ||||||
2.750% due 08/15/32 |
3,000,000 | 2,823,984 | ||||||
2.875% due 05/31/25 |
1,200,000 | 1,171,852 | ||||||
2.875% due 06/15/25 |
1,000,000 | 976,641 | ||||||
2.875% due 05/15/28 |
2,500,000 | 2,412,256 | ||||||
2.875% due 08/15/28 |
1,750,000 | 1,686,050 | ||||||
2.875% due 04/30/29 |
2,000,000 | 1,920,742 | ||||||
2.875% due 05/15/32 |
3,500,000 | 3,331,562 | ||||||
3.000% due 06/30/24 |
2,000,000 | 1,964,805 | ||||||
3.000% due 07/31/24 |
3,500,000 | 3,437,383 | ||||||
3.000% due 07/15/25 |
1,500,000 | 1,468,301 | ||||||
3.125% due 08/31/27 |
2,500,000 | 2,445,898 | ||||||
3.125% due 11/15/28 |
3,000,000 | 2,925,469 | ||||||
3.125% due 08/31/29 |
3,000,000 | 2,920,898 | ||||||
3.250% due 08/31/24 |
2,000,000 | 1,970,078 | ||||||
3.250% due 06/30/27 |
4,000,000 | 3,932,031 | ||||||
3.250% due 06/30/29 |
1,750,000 | 1,716,162 | ||||||
3.500% due 01/31/28 |
1,000,000 | 994,922 | ||||||
3.500% due 01/31/30 |
1,500,000 | 1,494,141 |
Principal |
Value |
|||||||
3.500% due 02/15/33 |
$3,500,000 | $3,505,742 | ||||||
3.625% due 03/31/28 |
750,000 | 751,289 | ||||||
3.625% due 03/31/30 |
2,000,000 | 2,009,688 | ||||||
3.875% due 03/31/25 |
2,000,000 | 1,994,023 | ||||||
3.875% due 11/30/27 |
2,500,000 | 2,526,416 | ||||||
3.875% due 12/31/27 |
1,500,000 | 1,516,084 | ||||||
3.875% due 09/30/29 |
1,500,000 | 1,525,020 | ||||||
3.875% due 12/31/29 |
2,000,000 | 2,036,563 | ||||||
4.000% due 12/15/25 |
3,000,000 | 3,012,129 | ||||||
4.000% due 02/29/28 |
5,000,000 | 5,090,820 | ||||||
4.000% due 10/31/29 |
1,500,000 | 1,536,563 | ||||||
4.000% due 02/28/30 |
2,000,000 | 2,053,125 | ||||||
4.125% due 09/30/27 |
1,000,000 | 1,019,063 | ||||||
4.125% due 10/31/27 |
3,000,000 | 3,058,125 | ||||||
4.125% due 11/15/32 |
3,450,000 | 3,625,734 | ||||||
4.250% due 12/31/24 |
3,500,000 | 3,503,623 | ||||||
4.375% due 10/31/24 |
1,000,000 | 1,001,348 | ||||||
4.500% due 11/30/24 |
3,500,000 | 3,514,355 | ||||||
4.500% due 11/15/25 |
3,500,000 | 3,552,295 | ||||||
4.625% due 03/15/26 |
2,000,000 | 2,045,703 | ||||||
|
|
|||||||
383,778,612 | ||||||||
|
|
|||||||
Total U.S. Treasury Obligations |
|
480,576,887 | ||||||
|
|
|||||||
FOREIGN GOVERNMENT BONDS & NOTES - 1.6% |
| |||||||
Canada Government (Canada) |
||||||||
0.750% due 05/19/26 |
300,000 | 272,786 | ||||||
1.625% due 01/22/25 |
150,000 | 143,506 | ||||||
Chile Government (Chile) |
||||||||
2.550% due 07/27/33 |
250,000 | 206,159 | ||||||
3.100% due 01/22/61 |
400,000 | 261,523 | ||||||
3.125% due 01/21/26 |
75,000 | 72,832 | ||||||
3.500% due 01/31/34 |
200,000 | 178,483 | ||||||
3.860% due 06/21/47 |
300,000 | 246,365 | ||||||
Export Development Canada (Canada) |
||||||||
3.000% due 05/25/27 |
200,000 | 194,136 | ||||||
3.375% due 08/26/25 |
90,000 | 88,709 | ||||||
3.875% due 02/14/28 |
100,000 | 100,609 | ||||||
Export-Import Bank of Korea (South Korea) |
||||||||
0.625% due 02/09/26 |
200,000 | 178,627 | ||||||
1.625% due 01/18/27 |
400,000 | 361,010 | ||||||
5.125% due 01/11/33 |
200,000 | 208,265 | ||||||
Indonesia Government (Indonesia) |
||||||||
2.850% due 02/14/30 |
200,000 | 181,053 | ||||||
3.200% due 09/23/61 |
200,000 | 139,793 | ||||||
3.550% due 03/31/32 |
200,000 | 183,868 | ||||||
4.200% due 10/15/50 |
300,000 | 259,893 | ||||||
4.550% due 01/11/28 |
200,000 | 200,212 | ||||||
4.850% due 01/11/33 |
200,000 | 199,289 | ||||||
Israel Government AID |
25,000 | 25,231 | ||||||
Israel Government International (Israel) |
200,000 | 181,187 | ||||||
Japan Bank for International Cooperation (Japan) |
||||||||
0.625% due 07/15/25 |
235,000 | 215,894 | ||||||
1.250% due 01/21/31 |
500,000 | 405,319 | ||||||
1.875% due 07/21/26 |
200,000 | 185,416 | ||||||
1.875% due 04/15/31 |
200,000 | 169,505 | ||||||
2.500% due 05/23/24 |
200,000 | 195,230 | ||||||
3.250% due 07/20/28 |
200,000 | 191,590 | ||||||
4.250% due 01/26/26 |
500,000 | 500,600 | ||||||
Japan International Cooperation Agency (Japan) |
200,000 | 191,385 | ||||||
Korea Development Bank (South Korea) |
||||||||
2.000% due 09/12/26 |
200,000 | 183,094 | ||||||
4.000% due 09/08/25 |
200,000 | 197,268 | ||||||
4.250% due 09/08/32 |
200,000 | 196,731 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
218
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Korea International (South Korea) |
||||||||
1.750% due 10/15/31 |
$200,000 | $169,668 | ||||||
2.750% due 01/19/27 |
200,000 | 192,263 | ||||||
Mexico Government (Mexico) |
||||||||
2.659% due 05/24/31 |
200,000 | 167,410 | ||||||
3.500% due 02/12/34 |
200,000 | 170,062 | ||||||
3.900% due 04/27/25 |
350,000 | 346,514 | ||||||
4.150% due 03/28/27 |
200,000 | 196,646 | ||||||
4.280% due 08/14/41 |
200,000 | 163,928 | ||||||
4.400% due 02/12/52 |
400,000 | 313,540 | ||||||
4.500% due 01/31/50 |
200,000 | 161,766 | ||||||
4.600% due 01/23/46 |
250,000 | 206,270 | ||||||
4.600% due 02/10/48 |
200,000 | 163,772 | ||||||
4.750% due 04/27/32 |
350,000 | 336,906 | ||||||
4.750% due 03/08/44 |
264,000 | 225,003 | ||||||
6.750% due 09/27/34 |
225,000 | 248,412 | ||||||
Panama Government (Panama) |
||||||||
3.870% due 07/23/60 |
200,000 | 131,580 | ||||||
4.500% due 05/15/47 |
350,000 | 275,368 | ||||||
6.400% due 02/14/35 |
265,000 | 276,907 | ||||||
6.700% due 01/26/36 |
100,000 | 106,083 | ||||||
6.853% due 03/28/54 |
200,000 | 205,566 | ||||||
8.875% due 09/30/27 |
100,000 | 116,424 | ||||||
Peruvian Government (Peru) |
||||||||
2.780% due 12/01/60 |
200,000 | 119,720 | ||||||
2.783% due 01/23/31 |
300,000 | 256,805 | ||||||
3.300% due 03/11/41 |
250,000 | 188,110 | ||||||
4.125% due 08/25/27 |
150,000 | 147,321 | ||||||
8.750% due 11/21/33 |
200,000 | 252,539 | ||||||
Philippine Government (Philippines) |
||||||||
1.648% due 06/10/31 |
200,000 | 160,890 | ||||||
2.650% due 12/10/45 |
200,000 | 137,538 | ||||||
2.950% due 05/05/45 |
200,000 | 144,536 | ||||||
3.000% due 02/01/28 |
200,000 | 188,648 | ||||||
5.609% due 04/13/33 |
200,000 | 213,064 | ||||||
6.375% due 10/23/34 |
250,000 | 281,250 | ||||||
7.750% due 01/14/31 |
200,000 | 236,525 | ||||||
Philippines Government (Philippines) |
200,000 | 203,493 | ||||||
Province of Alberta Canada (Canada) |
||||||||
1.300% due 07/22/30 |
250,000 | 207,719 | ||||||
1.875% due 11/13/24 |
350,000 | 335,976 | ||||||
Province of British Columbia Canada (Canada) |
500,000 | 416,253 | ||||||
Province of Manitoba Canada (Canada) |
155,000 | 136,588 | ||||||
Province of New Brunswick Canada (Canada) |
50,000 | 49,103 | ||||||
Province of Ontario Canada (Canada) |
||||||||
0.625% due 01/21/26 |
300,000 | 272,785 | ||||||
1.050% due 04/14/26 |
200,000 | 183,084 | ||||||
1.050% due 05/21/27 |
200,000 | 178,208 | ||||||
2.000% due 10/02/29 |
100,000 | 89,101 | ||||||
2.125% due 01/21/32 |
150,000 | 130,140 | ||||||
2.300% due 06/15/26 |
250,000 | 236,866 | ||||||
Province of Quebec Canada (Canada) |
||||||||
0.600% due 07/23/25 |
100,000 | 92,319 | ||||||
1.350% due 05/28/30 |
50,000 | 42,163 | ||||||
1.500% due 02/11/25 |
350,000 | 332,856 | ||||||
1.900% due 04/21/31 |
200,000 | 172,691 | ||||||
2.500% due 04/09/24 |
65,000 | 63,580 | ||||||
7.500% due 09/15/29 |
75,000 | 89,503 | ||||||
Republic of Italy Government International Bond (Italy) |
||||||||
0.875% due 05/06/24 |
200,000 | 190,290 | ||||||
2.875% due 10/17/29 |
200,000 | 174,264 | ||||||
3.875% due 05/06/51 |
200,000 | 143,691 | ||||||
4.000% due 10/17/49 |
200,000 | 152,614 | ||||||
Republic of Poland Government (Poland) |
65,000 | 69,225 | ||||||
State of Israel (Israel) |
500,000 | 384,119 |
Principal |
Value |
|||||||
Svensk Exportkredit AB (Sweden) |
||||||||
0.375% due 07/30/24 |
$250,000 | $236,749 | ||||||
0.625% due 10/07/24 |
560,000 | 528,914 | ||||||
Uruguay Government International Bond (Uruguay) |
||||||||
4.125% due 11/20/45 |
143,467 | 132,603 | ||||||
4.375% due 10/27/27 |
200,000 | 200,594 | ||||||
5.100% due 06/18/50 |
200,000 | 200,916 | ||||||
|
|
|||||||
Total Foreign Government Bonds & Notes |
|
18,663,009 | ||||||
|
|
|||||||
MUNICIPAL BONDS - 0.6% |
| |||||||
American Municipal Power, Inc. |
||||||||
6.449% due 02/15/44 |
25,000 | 28,568 | ||||||
8.084% due 02/15/50 |
300,000 | 415,650 | ||||||
Bay Area Toll Authority CA |
||||||||
6.263% due 04/01/49 |
25,000 | 30,392 | ||||||
7.043% due 04/01/50 |
50,000 | 64,981 | ||||||
California State University |
50,000 | 35,712 | ||||||
Central Puget Sound Regional Transit Authority |
25,000 | 27,443 | ||||||
Chicago OHare International Airport |
50,000 | 47,174 | ||||||
Chicago Transit Authority Sales & Transfer Tax Receipts Revenue IL |
95,000 | 109,886 | ||||||
City of Atlanta GA Water & Wastewater Revenue |
100,000 | 81,585 | ||||||
City of Chicago |
42,000 | 44,036 | ||||||
City of Houston TX |
50,000 | 44,509 | ||||||
City of New York NY |
40,000 | 43,097 | ||||||
City of San Antonio TX Electric & Gas Systems Revenue |
60,000 | 43,714 | ||||||
Commonwealth of Massachusetts |
||||||||
4.910% due 05/01/29 |
100,000 | 101,850 | ||||||
5.456% due 12/01/39 |
25,000 | 26,926 | ||||||
County of Clark Department of Aviation NV |
125,000 | 155,278 | ||||||
Dallas Area Rapid Transit |
200,000 | 140,276 | ||||||
Dallas Fort Worth International Airport |
100,000 | 92,680 | ||||||
Dallas Independent School District |
50,000 | 50,621 | ||||||
Golden State Tobacco Securitization Corp. |
150,000 | 117,826 | ||||||
Grand Parkway Transportation Corp. |
250,000 | 187,793 | ||||||
JobsOhio Beverage System |
10,000 | 8,205 | ||||||
Los Angeles Unified School District CA |
100,000 | 115,918 | ||||||
Massachusetts School Building Authority |
||||||||
2.950% due 05/15/43 |
50,000 | 39,600 | ||||||
3.395% due 10/15/40 |
20,000 | 16,823 | ||||||
Metropolitan Transportation Authority NY |
||||||||
5.871% due 11/15/39 |
25,000 | 25,117 | ||||||
6.668% due 11/15/39 |
55,000 | 59,395 | ||||||
Municipal Electric Authority of Georgia |
||||||||
6.637% due 04/01/57 |
25,000 | 27,465 | ||||||
6.655% due 04/01/57 |
96,000 | 106,443 | ||||||
New Jersey Economic Development Authority |
125,000 | 136,587 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
219
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
New Jersey Turnpike Authority |
$100,000 | $123,544 | ||||||
New York City Municipal Water Finance Authority |
||||||||
5.952% due 06/15/42 |
50,000 | 57,398 | ||||||
6.011% due 06/15/42 |
10,000 | 11,544 | ||||||
New York City Transitional Finance Authority Future Tax Secured Revenue NY |
30,000 | 32,020 | ||||||
New York State Dormitory Authority |
100,000 | 82,468 | ||||||
New York State Urban Development Corp. |
||||||||
3.900% due 03/15/33 |
50,000 | 47,448 | ||||||
5.770% due 03/15/39 |
25,000 | 26,206 | ||||||
Pennsylvania Turnpike Commission |
75,000 | 82,463 | ||||||
Permanent University Fund - University of Texas System |
185,000 | 150,938 | ||||||
Port Authority of New York & New Jersey |
||||||||
3.175% due 07/15/60 |
250,000 | 178,469 | ||||||
4.031% due 09/01/48 |
50,000 | 44,408 | ||||||
4.229% due 10/15/57 |
30,000 | 27,005 | ||||||
4.458% due 10/01/62 |
100,000 | 93,731 | ||||||
5.647% due 11/01/40 |
150,000 | 162,395 | ||||||
Rutgers The State University of New Jersey |
15,000 | 11,252 | ||||||
Sales Tax Securitization Corp. |
50,000 | 47,773 | ||||||
San Diego County Regional Transportation Commission CA |
50,000 | 56,628 | ||||||
State Board of Administration Finance Corp. |
100,000 | 84,914 | ||||||
State of California |
||||||||
1.700% due 02/01/28 |
200,000 | 177,330 | ||||||
3.500% due 04/01/28 |
100,000 | 96,344 | ||||||
5.125% due 03/01/38 |
200,000 | 204,557 | ||||||
7.300% due 10/01/39 |
100,000 | 124,313 | ||||||
7.500% due 04/01/34 |
50,000 | 62,581 | ||||||
7.600% due 11/01/40 |
270,000 | 356,206 | ||||||
7.625% due 03/01/40 |
40,000 | 51,812 | ||||||
State of Connecticut |
50,000 | 51,128 | ||||||
State of Illinois |
400,000 | 426,964 | ||||||
State of Texas |
100,000 | 110,087 | ||||||
State of Utah |
5,000 | 4,986 | ||||||
State of Wisconsin |
250,000 | 239,299 | ||||||
Texas Transportation Commission |
350,000 | 268,230 | ||||||
Texas Transportation Commission State Highway Fund |
25,000 | 25,883 | ||||||
University of California |
||||||||
3.063% due 07/01/25 |
50,000 | 48,766 | ||||||
4.132% due 05/15/32 |
100,000 | 96,186 | ||||||
4.767% due 05/15/15 |
75,000 | 68,400 | ||||||
4.858% due 05/15/12 |
100,000 | 93,467 | ||||||
University of Michigan |
||||||||
3.599% due 04/01/47 |
80,000 | 71,195 | ||||||
4.454% due 04/01/22 |
100,000 | 90,601 | ||||||
|
|
|||||||
Total Municipal Bonds |
6,414,489 | |||||||
|
|
Shares |
Value |
|||||||
SHORT-TERM INVESTMENT - 4.2% |
| |||||||
Money Market Fund - 4.2% |
| |||||||
BlackRock Liquidity Funds T-Fund Institutional Shares 4.700% |
49,722,745 | $49,722,745 | ||||||
|
|
|||||||
Total Short-Term Investment |
49,722,745 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 103.6% |
1,219,443,234 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (3.6%) |
(41,901,192 | ) | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$1,177,542,042 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
220
PACIFIC SELECT FUND
PD AGGREGATE BOND INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Note to Schedule of Investments
(a) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Corporate Bonds & Notes |
$306,249,900 | $- | $306,249,900 | $- | |||||||||||||
Mortgage-Backed Securities |
340,156,431 | - | 340,156,431 | - | ||||||||||||||
Asset-Backed Securities |
4,339,756 | - | 4,339,756 | - | ||||||||||||||
U.S. Government Agency Issues |
13,320,017 | - | 13,320,017 | - | ||||||||||||||
U.S. Treasury Obligations |
480,576,887 | - | 480,576,887 | - | ||||||||||||||
Foreign Government Bonds & Notes |
18,663,009 | - | 18,663,009 | - | ||||||||||||||
Municipal Bonds |
6,414,489 | - | 6,414,489 | - | ||||||||||||||
Short-Term Investment |
49,722,745 | 49,722,745 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$1,219,443,234 | $49,722,745 | $1,169,720,489 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
221
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 0.0% |
| |||||||
Energy - 0.0% |
| |||||||
Patterson-UTI Energy, Inc. |
306 | $3,580 | ||||||
|
|
|||||||
Financial - 0.0% |
| |||||||
Stearns Holdings LLC Class B * W ± |
3,570 | - | ||||||
|
|
|||||||
Total Common Stocks |
3,580 | |||||||
|
|
|||||||
Principal |
||||||||
CORPORATE BONDS & NOTES - 97.0% |
| |||||||
Basic Materials - 4.9% |
| |||||||
Arconic Corp. |
$90,000 | 90,225 | ||||||
Ashland LLC |
||||||||
3.375% due 09/01/31 ~ |
200,000 | 163,798 | ||||||
6.875% due 05/15/43 |
128,000 | 128,970 | ||||||
ATI, Inc. |
||||||||
4.875% due 10/01/29 |
200,000 | 182,316 | ||||||
5.125% due 10/01/31 |
50,000 | 45,573 | ||||||
5.875% due 12/01/27 |
200,000 | 195,621 | ||||||
Carpenter Technology Corp. |
125,000 | 122,052 | ||||||
Cerdia Finanz GmbH (Germany) |
355,000 | 326,523 | ||||||
Chemours Co. |
||||||||
4.625% due 11/15/29 ~ |
100,000 | 82,591 | ||||||
5.750% due 11/15/28 ~ |
170,000 | 151,967 | ||||||
Cleveland-Cliffs, Inc. |
||||||||
4.625% due 03/01/29 ~ |
120,000 | 110,233 | ||||||
6.250% due 10/01/40 |
100,000 | 84,688 | ||||||
6.750% due 03/15/26 ~ |
137,000 | 139,603 | ||||||
Coeur Mining, Inc. |
300,000 | 254,635 | ||||||
Commercial Metals Co. |
||||||||
3.875% due 02/15/31 |
200,000 | 169,794 | ||||||
4.125% due 01/15/30 |
95,000 | 83,938 | ||||||
4.375% due 03/15/32 |
90,000 | 77,558 | ||||||
4.875% due 05/15/23 |
100,000 | 99,985 | ||||||
Compass Minerals International, Inc. |
||||||||
4.875% due 07/15/24 ~ |
50,000 | 47,549 | ||||||
6.750% due 12/01/27 ~ |
135,000 | 128,656 | ||||||
Consolidated Energy Finance SA (Switzerland) |
200,000 | 172,256 | ||||||
Constellium SE |
250,000 | 236,309 | ||||||
Cornerstone Chemical Co. |
150,000 | 135,187 | ||||||
CVR Partners LP/CVR Nitrogen Finance Corp. |
150,000 | 133,141 | ||||||
FMG Resources August 2006 Pty. Ltd. (Australia) |
||||||||
4.375% due 04/01/31 ~ |
474,000 | 416,416 | ||||||
5.125% due 05/15/24 ~ |
90,000 | 89,131 | ||||||
5.875% due 04/15/30 ~ |
275,000 | 263,942 | ||||||
GPD Cos., Inc. |
225,000 | 204,817 | ||||||
HB Fuller Co. |
225,000 | 199,860 |
Principal |
Value |
|||||||
Herens Holdco SARL (Luxembourg) |
$200,000 | $161,213 | ||||||
Hudbay Minerals, Inc. (Canada) |
350,000 | 331,091 | ||||||
INEOS Finance PLC (Luxembourg) |
250,000 | 241,624 | ||||||
Ingevity Corp. |
115,000 | 98,673 | ||||||
Innophos Holdings, Inc. |
125,000 | 127,912 | ||||||
Kaiser Aluminum Corp. |
||||||||
4.500% due 06/01/31 ~ |
131,000 | 107,747 | ||||||
4.625% due 03/01/28 ~ |
114,000 | 101,607 | ||||||
Mativ Holdings, Inc. |
75,000 | 68,704 | ||||||
Mercer International, Inc. (Germany) |
||||||||
5.125% due 02/01/29 |
294,000 | 252,105 | ||||||
5.500% due 01/15/26 |
150,000 | 146,293 | ||||||
Methanex Corp. (Canada) |
||||||||
5.125% due 10/15/27 |
125,000 | 117,942 | ||||||
5.650% due 12/01/44 |
50,000 | 41,224 | ||||||
Mineral Resources Ltd. (Australia) |
||||||||
8.000% due 11/01/27 ~ |
175,000 | 180,162 | ||||||
8.125% due 05/01/27 ~ |
213,000 | 216,405 | ||||||
8.500% due 05/01/30 ~ |
205,000 | 210,596 | ||||||
New Gold, Inc. (Canada) |
165,000 | 158,976 | ||||||
Novelis Corp. |
375,000 | 343,039 | ||||||
OCI NV (Netherlands) |
160,000 | 152,014 | ||||||
Olympus Water US Holding Corp. |
||||||||
4.250% due 10/01/28 ~ |
400,000 | 331,394 | ||||||
6.250% due 10/01/29 ~ |
150,000 | 111,167 | ||||||
Rayonier AM Products, Inc. |
81,000 | 81,124 | ||||||
SCIH Salt Holdings, Inc. |
||||||||
4.875% due 05/01/28 ~ |
221,000 | 197,291 | ||||||
6.625% due 05/01/29 ~ |
105,000 | 87,021 | ||||||
SK Invictus Intermediate II SARL |
165,000 | 137,168 | ||||||
TMS International Corp. |
50,000 | 38,607 | ||||||
Trinseo Materials Operating SCA/Trinseo Materials Finance, Inc. |
175,000 | 142,410 | ||||||
Valvoline, Inc. |
||||||||
3.625% due 06/15/31 ~ |
195,000 | 165,807 | ||||||
4.250% due 02/15/30 ~ |
176,000 | 172,753 | ||||||
WR Grace Holdings LLC |
||||||||
5.625% due 08/15/29 ~ |
390,000 | 331,500 | ||||||
7.375% due 03/01/31 ~ |
100,000 | 100,474 | ||||||
|
|
|||||||
9,491,377 | ||||||||
|
|
|||||||
Communications - 16.4% |
| |||||||
Acuris Finance Us, Inc./Acuris Finance SARL |
200,000 | 157,263 | ||||||
Altice Financing SA (Luxembourg) |
600,000 | 477,543 | ||||||
Altice France Holding SA (Luxembourg) |
205,000 | 157,010 | ||||||
Altice France SA (France) |
||||||||
5.125% due 01/15/29 ~ |
350,000 | 267,125 | ||||||
5.125% due 07/15/29 ~ |
500,000 | 376,725 | ||||||
5.500% due 10/15/29 ~ |
640,000 | 489,956 | ||||||
AMC Networks, Inc. |
||||||||
4.250% due 02/15/29 |
248,000 | 152,742 | ||||||
4.750% due 08/01/25 |
350,000 | 310,774 | ||||||
5.000% due 04/01/24 |
160,000 | 157,992 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
222
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Audacy Capital Corp. |
$150,000 | $10,976 | ||||||
Cable One, Inc. |
410,000 | 334,204 | ||||||
Cablevision Lightpath LLC |
200,000 | 161,168 | ||||||
CCO Holdings LLC/CCO Holdings Capital Corp. |
||||||||
4.250% due 02/01/31 ~ |
945,000 | 773,794 | ||||||
4.250% due 01/15/34 ~ |
200,000 | 156,637 | ||||||
4.500% due 08/15/30 ~ |
500,000 | 423,068 | ||||||
4.500% due 05/01/32 |
879,000 | 719,822 | ||||||
4.750% due 02/01/32 ~ |
190,000 | 159,810 | ||||||
5.125% due 05/01/27 ~ |
100,000 | 94,624 | ||||||
5.375% due 06/01/29 ~ |
289,000 | 265,686 | ||||||
5.500% due 05/01/26 ~ |
225,000 | 219,098 | ||||||
6.375% due 09/01/29 ~ |
270,000 | 258,093 | ||||||
7.375% due 03/01/31 ~ |
200,000 | 197,000 | ||||||
Cengage Learning, Inc. |
61,000 | 59,036 | ||||||
Ciena Corp. |
180,000 | 156,762 | ||||||
Clear Channel Outdoor Holdings, Inc. |
225,000 | 160,110 | ||||||
Cogent Communications Group, Inc. |
180,000 | 178,632 | ||||||
CommScope Technologies LLC |
313,000 | 295,076 | ||||||
CommScope, Inc. |
||||||||
4.750% due 09/01/29 ~ |
395,000 | 329,628 | ||||||
6.000% due 03/01/26 ~ |
230,000 | 222,227 | ||||||
7.125% due 07/01/28 ~ |
119,000 | 87,914 | ||||||
8.250% due 03/01/27 ~ |
290,000 | 237,800 | ||||||
Connect Finco SARL/Connect US Finco LLC (United Kingdom) |
627,000 | 589,944 | ||||||
Consolidated Communications, Inc. |
102,000 | 74,184 | ||||||
CSC Holdings LLC |
||||||||
3.375% due 02/15/31 ~ |
200,000 | 138,540 | ||||||
4.125% due 12/01/30 ~ |
200,000 | 143,819 | ||||||
4.625% due 12/01/30 ~ |
566,000 | 279,632 | ||||||
5.000% due 11/15/31 ~ |
300,000 | 152,277 | ||||||
5.250% due 06/01/24 |
204,000 | 197,093 | ||||||
5.375% due 02/01/28 ~ |
350,000 | 287,072 | ||||||
7.500% due 04/01/28 ~ |
200,000 | 127,680 | ||||||
Cumulus Media New Holdings, Inc. |
50,000 | 38,061 | ||||||
Directv Financing LLC/Directv Financing Co.-Obligor, Inc. |
740,000 | 670,928 | ||||||
DISH DBS Corp. |
||||||||
5.250% due 12/01/26 ~ |
875,000 | 699,799 | ||||||
5.875% due 11/15/24 |
365,000 | 325,872 | ||||||
7.375% due 07/01/28 |
80,000 | 45,726 | ||||||
7.750% due 07/01/26 |
618,000 | 408,520 | ||||||
DISH Network Corp. |
725,000 | 704,015 | ||||||
Frontier Communications Holdings LLC |
||||||||
5.000% due 05/01/28 ~ |
475,000 | 412,718 | ||||||
5.875% due 10/15/27 ~ |
210,000 | 191,100 | ||||||
6.000% due 01/15/30 ~ |
200,000 | 152,332 | ||||||
6.750% due 05/01/29 ~ |
200,000 | 158,694 | ||||||
8.625% due 03/15/31 ~ |
150,000 | 147,043 | ||||||
8.750% due 05/15/30 ~ |
270,000 | 269,213 | ||||||
Gen Digital, Inc. |
||||||||
5.000% due 04/15/25 ~ |
200,000 | 196,607 | ||||||
6.750% due 09/30/27 ~ |
150,000 | 150,938 | ||||||
7.125% due 09/30/30 ~ |
74,000 | 73,697 | ||||||
Getty Images, Inc. |
100,000 | 100,015 | ||||||
Gray Escrow II, Inc. |
350,000 | 232,797 |
Principal |
Value |
|||||||
Gray Television, Inc. |
||||||||
5.875% due 07/15/26 ~ |
$75,000 | $64,955 | ||||||
7.000% due 05/15/27 ~ |
340,000 | 284,981 | ||||||
iHeartCommunications, Inc. |
||||||||
5.250% due 08/15/27 ~ |
191,000 | 156,326 | ||||||
6.375% due 05/01/26 |
200,000 | 176,687 | ||||||
8.375% due 05/01/27 |
350,000 | 254,945 | ||||||
Iliad Holding SASU (France) |
500,000 | 476,960 | ||||||
Intelsat Jackson Holdings SA (Luxembourg) |
715,000 | 657,249 | ||||||
Lamar Media Corp. |
||||||||
3.625% due 01/15/31 |
120,000 | 103,308 | ||||||
4.875% due 01/15/29 |
200,000 | 188,399 | ||||||
Level 3 Financing, Inc. |
||||||||
3.400% due 03/01/27 ~ |
240,000 | 190,042 | ||||||
3.625% due 01/15/29 ~ |
100,000 | 55,396 | ||||||
3.875% due 11/15/29 ~ |
200,000 | 144,936 | ||||||
4.250% due 07/01/28 ~ |
175,000 | 98,914 | ||||||
4.625% due 09/15/27 ~ |
400,000 | 240,860 | ||||||
10.500% due 05/15/30 |
119,420 | 114,195 | ||||||
Lumen Technologies, Inc. |
||||||||
4.000% due 02/15/27 ~ |
560,000 | 370,112 | ||||||
4.500% due 01/15/29 ~ |
150,000 | 67,312 | ||||||
Match Group Holdings II LLC |
||||||||
3.625% due 10/01/31 ~ |
125,000 | 101,863 | ||||||
4.125% due 08/01/30 ~ |
150,000 | 129,350 | ||||||
4.625% due 06/01/28 ~ |
135,000 | 125,550 | ||||||
Midcontinent Communications/Midcontinent Finance Corp. |
100,000 | 90,607 | ||||||
Millennium Escrow Corp. |
292,000 | 190,168 | ||||||
Netflix, Inc. |
||||||||
3.625% due 06/15/25 ~ |
110,000 | 106,906 | ||||||
4.375% due 11/15/26 |
205,000 | 202,878 | ||||||
4.875% due 04/15/28 |
478,000 | 476,040 | ||||||
News Corp. |
||||||||
3.875% due 05/15/29 ~ |
85,000 | 75,625 | ||||||
5.125% due 02/15/32 ~ |
404,000 | 379,352 | ||||||
Nexstar Media, Inc. |
||||||||
4.750% due 11/01/28 ~ |
285,000 | 253,804 | ||||||
5.625% due 07/15/27 ~ |
438,000 | 405,209 | ||||||
Nokia OYJ (Finland) |
50,000 | 49,952 | ||||||
Northwest Fiber LLC/Northwest Fiber Finance Sub, Inc. |
||||||||
4.750% due 04/30/27 ~ |
20,000 | 17,106 | ||||||
6.000% due 02/15/28 ~ |
200,000 | 148,169 | ||||||
Outfront Media Capital LLC/Outfront Media Capital Corp. |
115,000 | 103,723 | ||||||
Paramount Global |
292,000 | 218,804 | ||||||
Qwest Corp. |
35,000 | 32,747 | ||||||
Radiate Holdco LLC/Radiate Finance, Inc. |
83,000 | 34,142 | ||||||
Rakuten Group, Inc. (Japan) |
||||||||
6.250% due 04/22/31 ~ |
300,000 | 144,537 | ||||||
10.250% due 11/30/24 ~ |
200,000 | 190,250 | ||||||
Scripps Escrow II, Inc. |
||||||||
3.875% due 01/15/29 ~ |
175,000 | 137,539 | ||||||
5.375% due 01/15/31 ~ |
100,000 | 68,878 | ||||||
Scripps Escrow, Inc. |
150,000 | 110,625 | ||||||
Sirius XM Radio, Inc. |
||||||||
3.125% due 09/01/26 ~ |
146,000 | 131,846 | ||||||
4.000% due 07/15/28 ~ |
625,000 | 537,500 | ||||||
4.125% due 07/01/30 ~ |
250,000 | 204,658 | ||||||
5.000% due 08/01/27 ~ |
160,000 | 149,968 | ||||||
5.500% due 07/01/29 ~ |
560,000 | 510,275 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
223
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Sprint Capital Corp. |
$200,000 | $243,712 | ||||||
Sprint LLC |
||||||||
7.125% due 06/15/24 |
750,000 | 763,103 | ||||||
7.625% due 02/15/25 |
600,000 | 622,720 | ||||||
TEGNA, Inc. |
||||||||
4.625% due 03/15/28 |
385,000 | 337,356 | ||||||
4.750% due 03/15/26 ~ |
141,000 | 133,925 | ||||||
5.000% due 09/15/29 |
374,000 | 323,708 | ||||||
Telecom Italia Capital SA (Italy) |
||||||||
6.000% due 09/30/34 |
200,000 | 171,750 | ||||||
7.200% due 07/18/36 |
250,000 | 226,444 | ||||||
Telesat Canada/Telesat LLC (Canada) |
134,000 | 42,880 | ||||||
Uber Technologies, Inc. |
500,000 | 456,562 | ||||||
Univision Communications, Inc. |
||||||||
4.500% due 05/01/29 ~ |
172,000 | 144,680 | ||||||
6.625% due 06/01/27 ~ |
255,000 | 242,021 | ||||||
7.375% due 06/30/30 ~ |
506,000 | 478,848 | ||||||
UPC Broadband Finco BV (Netherlands) |
500,000 | 432,982 | ||||||
UPC Holding BV (Netherlands) |
200,000 | 179,317 | ||||||
Videotron Ltd. (Canada) |
||||||||
3.625% due 06/15/29 ~ |
175,000 | 149,340 | ||||||
5.125% due 04/15/27 ~ |
200,000 | 193,226 | ||||||
Virgin Media Secured Finance PLC (United Kingdom) |
||||||||
4.500% due 08/15/30 ~ |
200,000 | 172,231 | ||||||
5.500% due 05/15/29 ~ |
223,000 | 207,922 | ||||||
Vmed O2 UK Financing I PLC (United Kingdom) |
400,000 | 343,362 | ||||||
Vodafone Group PLC (United Kingdom) |
||||||||
5.125% due 06/04/81 |
100,000 | 70,176 | ||||||
7.000% due 04/04/79 |
600,000 | 597,657 | ||||||
VZ Secured Financing BV (Netherlands) |
350,000 | 285,906 | ||||||
Windstream Escrow LLC/Windstream Escrow Finance Corp. |
396,000 | 324,720 | ||||||
Zayo Group Holdings, Inc. |
250,000 | 190,225 | ||||||
Ziff Davis, Inc. |
215,000 | 185,703 | ||||||
Ziggo Bond Co. BV (Netherlands) |
200,000 | 161,054 | ||||||
Ziggo BV (Netherlands) |
200,000 | 170,706 | ||||||
|
|
|||||||
31,842,495 | ||||||||
|
|
|||||||
Consumer, Cyclical - 23.3% |
| |||||||
99 Escrow Issuer, Inc. |
213,000 | 85,264 | ||||||
Adient Global Holdings Ltd. |
||||||||
7.000% due 04/15/28 ~ |
63,000 | 64,819 | ||||||
8.250% due 04/15/31 ~ |
63,000 | 64,927 | ||||||
Air Canada (Canada) |
605,000 | 549,982 | ||||||
AMC Entertainment Holdings, Inc. |
165,000 | 114,159 | ||||||
American Airlines Group, Inc. |
150,000 | 137,787 | ||||||
American Airlines, Inc. |
||||||||
7.250% due 02/15/28 ~ |
200,000 | 194,693 | ||||||
11.750% due 07/15/25 ~ |
700,000 | 766,535 | ||||||
American Airlines, Inc./AAdvantage Loyalty IP Ltd. |
||||||||
5.500% due 04/20/26 ~ |
235,000 | 231,555 | ||||||
5.750% due 04/20/29 ~ |
45,000 | 43,214 | ||||||
American Axle & Manufacturing, Inc. |
||||||||
6.250% due 03/15/26 |
34,000 | 32,682 |
Principal |
Value |
|||||||
6.875% due 07/01/28 |
$150,000 | $135,761 | ||||||
American Builders & Contractors Supply Co., Inc. |
129,000 | 117,593 | ||||||
Aramark Services, Inc. |
100,000 | 98,509 | ||||||
Asbury Automotive Group, Inc. |
||||||||
4.500% due 03/01/28 |
150,000 | 136,706 | ||||||
4.750% due 03/01/30 |
218,000 | 195,368 | ||||||
Ashton Woods USA LLC/Ashton Woods Finance Co. |
250,000 | 226,984 | ||||||
At Home Group, Inc. |
||||||||
4.875% due 07/15/28 ~ |
90,000 | 61,087 | ||||||
7.125% due 07/15/29 ~ |
45,000 | 25,821 | ||||||
Bath & Body Works, Inc. |
||||||||
6.694% due 01/15/27 |
195,000 | 194,706 | ||||||
6.750% due 07/01/36 |
90,000 | 80,531 | ||||||
6.875% due 11/01/35 |
300,000 | 270,716 | ||||||
BCPE Empire Holdings, Inc. |
190,000 | 173,784 | ||||||
Beacon Roofing Supply, Inc. |
150,000 | 142,283 | ||||||
Beazer Homes USA, Inc. |
250,000 | 246,916 | ||||||
Bloomin Brands, Inc./OSI Restaurant Partners LLC |
100,000 | 89,634 | ||||||
BlueLinx Holdings, Inc. |
100,000 | 82,685 | ||||||
Boyne USA, Inc. |
394,000 | 352,210 | ||||||
Brinker International, Inc. |
100,000 | 98,209 | ||||||
Brookfield Residential Properties, Inc./Brookfield Residential US LLC (Canada) |
||||||||
4.875% due 02/15/30 ~ |
65,000 | 49,110 | ||||||
5.000% due 06/15/29 ~ |
100,000 | 76,693 | ||||||
6.250% due 09/15/27 ~ |
263,000 | 231,526 | ||||||
Caesars Entertainment, Inc. |
||||||||
6.250% due 07/01/25 ~ |
900,000 | 900,884 | ||||||
7.000% due 02/15/30 ~ |
550,000 | 560,128 | ||||||
Carnival Corp. |
||||||||
4.000% due 08/01/28 ~ |
725,000 | 624,859 | ||||||
5.750% due 03/01/27 ~ |
387,000 | 317,888 | ||||||
6.650% due 01/15/28 |
200,000 | 152,247 | ||||||
7.625% due 03/01/26 ~ |
420,000 | 383,662 | ||||||
Carnival PLC |
185,000 | 181,913 | ||||||
Carvana Co. |
||||||||
4.875% due 09/01/29 ~ |
200,000 | 81,923 | ||||||
5.500% due 04/15/27 ~ |
89,000 | 39,629 | ||||||
5.625% due 10/01/25 ~ |
165,000 | 114,309 | ||||||
5.875% due 10/01/28 ~ |
125,000 | 55,785 | ||||||
10.250% due 05/01/30 ~ |
215,000 | 122,598 | ||||||
CD&R Smokey Buyer, Inc. |
120,000 | 103,500 | ||||||
CDI Escrow Issuer, Inc. |
350,000 | 338,361 | ||||||
CEC Entertainment LLC |
88,000 | 83,679 | ||||||
Cedar Fair LP/Canadas Wonderland Co./Magnum Management Corp./Millennium Op |
||||||||
5.375% due 04/15/27 |
80,000 | 76,546 | ||||||
6.500% due 10/01/28 |
100,000 | 97,136 | ||||||
Churchill Downs, Inc. |
||||||||
4.750% due 01/15/28 ~ |
236,000 | 221,226 | ||||||
5.500% due 04/01/27 ~ |
230,000 | 225,400 | ||||||
Cinemark USA, Inc. |
120,000 | 122,618 | ||||||
Clarios Global LP/Clarios US Finance Co. |
657,000 | 660,696 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
224
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Constellation Merger Sub, Inc. |
$100,000 | $85,212 | ||||||
Cooper-Standard Automotive, Inc. |
||||||||
5.625% due 05/15/27 ~ |
300,000 | 173,184 | ||||||
13.500% due 03/31/27 ~ |
435,000 | 455,201 | ||||||
Crocs, Inc. |
150,000 | 123,721 | ||||||
Dana, Inc. |
||||||||
4.250% due 09/01/30 |
100,000 | 80,268 | ||||||
4.500% due 02/15/32 |
300,000 | 237,123 | ||||||
Dave & Busters, Inc. |
140,000 | 142,800 | ||||||
Dealer Tire LLC/DT Issuer LLC |
250,000 | 224,683 | ||||||
Delta Air Lines, Inc. |
||||||||
2.900% due 10/28/24 |
225,000 | 215,496 | ||||||
7.375% due 01/15/26 |
90,000 | 93,739 | ||||||
eG Global Finance PLC (United Kingdom) |
200,000 | 187,477 | ||||||
Evergreen Acqco 1 LP/TVI, Inc. |
200,000 | 190,205 | ||||||
Everi Holdings, Inc. |
200,000 | 178,233 | ||||||
Ferrellgas LP/Ferrellgas Finance Corp. |
||||||||
5.375% due 04/01/26 ~ |
240,000 | 224,986 | ||||||
5.875% due 04/01/29 ~ |
240,000 | 205,445 | ||||||
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc. |
515,000 | 424,169 | ||||||
FirstCash, Inc. |
||||||||
4.625% due 09/01/28 ~ |
150,000 | 133,228 | ||||||
5.625% due 01/01/30 ~ |
175,000 | 161,677 | ||||||
Ford Motor Co. |
565,000 | 444,862 | ||||||
Ford Motor Credit Co. LLC |
||||||||
2.300% due 02/10/25 |
220,000 | 204,208 | ||||||
2.700% due 08/10/26 |
380,000 | 338,675 | ||||||
3.375% due 11/13/25 |
700,000 | 657,030 | ||||||
3.625% due 06/17/31 |
240,000 | 198,080 | ||||||
3.664% due 09/08/24 |
225,000 | 216,214 | ||||||
3.815% due 11/02/27 |
400,000 | 359,056 | ||||||
4.000% due 11/13/30 |
200,000 | 170,221 | ||||||
4.063% due 11/01/24 |
200,000 | 193,338 | ||||||
4.271% due 01/09/27 |
200,000 | 186,500 | ||||||
4.389% due 01/08/26 |
250,000 | 237,555 | ||||||
4.687% due 06/09/25 |
350,000 | 336,852 | ||||||
4.950% due 05/28/27 |
200,000 | 191,060 | ||||||
7.350% due 11/04/27 |
250,000 | 258,127 | ||||||
7.350% due 03/06/30 |
245,000 | 251,983 | ||||||
Forestar Group, Inc. |
150,000 | 134,454 | ||||||
Gap, Inc. |
||||||||
3.625% due 10/01/29 ~ |
345,000 | 246,399 | ||||||
3.875% due 10/01/31 ~ |
145,000 | 100,742 | ||||||
Genting New York LLC/GENNY Capital, Inc. |
200,000 | 180,038 | ||||||
Goodyear Tire & Rubber Co. |
||||||||
5.000% due 05/31/26 |
480,000 | 464,645 | ||||||
5.250% due 07/15/31 |
85,000 | 73,513 | ||||||
5.625% due 04/30/33 |
282,000 | 244,297 | ||||||
9.500% due 05/31/25 |
145,000 | 149,162 | ||||||
Group 1 Automotive, Inc. |
500,000 | 440,850 | ||||||
Hanesbrands, Inc. |
195,000 | 199,817 | ||||||
Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd. |
600,000 | 570,372 | ||||||
Hilton Domestic Operating Co., Inc. |
||||||||
3.625% due 02/15/32 ~ |
50,000 | 42,233 | ||||||
4.000% due 05/01/31 ~ |
190,000 | 166,554 | ||||||
5.375% due 05/01/25 ~ |
50,000 | 50,031 |
Principal |
Value |
|||||||
Hilton Worldwide Finance LLC/Hilton Worldwide Finance Corp. |
$215,000 | $212,289 | ||||||
International Game Technology PLC |
||||||||
4.125% due 04/15/26 ~ |
200,000 | 193,230 | ||||||
6.500% due 02/15/25 ~ |
200,000 | 202,298 | ||||||
IRB Holding Corp. |
250,000 | 251,005 | ||||||
Jacobs Entertainment, Inc. |
160,000 | 139,938 | ||||||
JB Poindexter & Co., Inc. |
119,000 | 111,696 | ||||||
KAR Auction Services, Inc. |
200,000 | 197,709 | ||||||
KB Home |
||||||||
6.875% due 06/15/27 |
75,000 | 76,278 | ||||||
7.250% due 07/15/30 |
185,000 | 187,865 | ||||||
KFC Holding Co./Pizza Hut Holdings LLC/Taco Bell of America LLC |
200,000 | 194,463 | ||||||
Kohls Corp. |
||||||||
3.625% due 05/01/31 |
138,000 | 93,269 | ||||||
4.250% due 07/17/25 |
58,000 | 54,079 | ||||||
Las Vegas Sands Corp. |
||||||||
2.900% due 06/25/25 |
150,000 | 142,625 | ||||||
3.500% due 08/18/26 |
306,000 | 285,881 | ||||||
LCM Investments Holdings II LLC |
400,000 | 335,098 | ||||||
Levi Strauss & Co. |
105,000 | 89,627 | ||||||
LGI Homes, Inc. |
75,000 | 61,012 | ||||||
Lindblad Expeditions LLC |
270,000 | 261,716 | ||||||
Lithia Motors, Inc. |
||||||||
3.875% due 06/01/29 ~ |
90,000 | 77,963 | ||||||
4.375% due 01/15/31 ~ |
150,000 | 129,398 | ||||||
4.625% due 12/15/27 ~ |
150,000 | 139,687 | ||||||
Live Nation Entertainment, Inc. |
||||||||
3.750% due 01/15/28 ~ |
160,000 | 143,600 | ||||||
4.750% due 10/15/27 ~ |
110,000 | 101,875 | ||||||
5.625% due 03/15/26 ~ |
81,000 | 78,465 | ||||||
6.500% due 05/15/27 ~ |
225,000 | 227,646 | ||||||
LSF9 Atlantis Holdings LLC/Victra Finance Corp. |
348,000 | 316,463 | ||||||
Macys Retail Holdings LLC |
300,000 | 185,254 | ||||||
MajorDrive Holdings IV LLC |
200,000 | 148,352 | ||||||
Marriott Ownership Resorts, Inc. |
||||||||
4.500% due 06/15/29 ~ |
135,000 | 115,065 | ||||||
4.750% due 01/15/28 |
150,000 | 134,234 | ||||||
Mattel, Inc. |
||||||||
3.750% due 04/01/29 ~ |
110,000 | 98,942 | ||||||
6.200% due 10/01/40 |
134,000 | 121,464 | ||||||
Melco Resorts Finance Ltd. (Hong Kong) |
200,000 | 163,900 | ||||||
Meritage Homes Corp. |
200,000 | 194,791 | ||||||
MGM China Holdings Ltd. (Macau) |
200,000 | 179,377 | ||||||
MGM Resorts International |
80,000 | 80,703 | ||||||
Michaels Cos., Inc. |
115,000 | 80,609 | ||||||
Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp. |
259,000 | 225,454 | ||||||
Mohegan Tribal Gaming Authority |
||||||||
8.000% due 02/01/26 ~ |
260,000 | 238,154 | ||||||
13.250% due 12/15/27 ~ |
150,000 | 161,488 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
225
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Murphy Oil USA, Inc. |
||||||||
3.750% due 02/15/31 ~ |
$85,000 | $71,700 | ||||||
4.750% due 09/15/29 |
99,000 | 90,308 | ||||||
5.625% due 05/01/27 |
100,000 | 96,910 | ||||||
NCL Corp. Ltd. |
||||||||
5.875% due 03/15/26 ~ |
260,000 | 221,559 | ||||||
5.875% due 02/15/27 ~ |
456,000 | 425,742 | ||||||
7.750% due 02/15/29 ~ |
100,000 | 85,844 | ||||||
8.375% due 02/01/28 ~ |
83,000 | 83,359 | ||||||
NCL Finance Ltd. |
125,000 | 101,421 | ||||||
New Red Finance, Inc. (Canada) |
||||||||
3.500% due 02/15/29 ~ |
125,000 | 112,036 | ||||||
4.000% due 10/15/30 ~ |
758,000 | 650,667 | ||||||
5.750% due 04/15/25 ~ |
50,000 | 50,230 | ||||||
Newell Brands, Inc. |
||||||||
4.700% due 04/01/26 |
535,000 | 515,507 | ||||||
4.875% due 06/01/25 |
165,000 | 161,013 | ||||||
5.875% due 04/01/36 |
130,000 | 115,306 | ||||||
6.375% due 09/15/27 |
168,000 | 169,730 | ||||||
6.625% due 09/15/29 |
90,000 | 90,873 | ||||||
Nissan Motor Acceptance Co. LLC |
||||||||
1.125% due 09/16/24 ~ |
100,000 | 93,529 | ||||||
1.850% due 09/16/26 ~ |
126,000 | 109,133 | ||||||
2.000% due 03/09/26 ~ |
115,000 | 101,983 | ||||||
2.750% due 03/09/28 ~ |
100,000 | 84,646 | ||||||
Nissan Motor Co. Ltd. (Japan) |
||||||||
4.345% due 09/17/27 ~ |
200,000 | 188,793 | ||||||
4.810% due 09/17/30 ~ |
200,000 | 181,235 | ||||||
NMG Holding Co., Inc./Neiman Marcus Group LLC |
125,000 | 117,471 | ||||||
Nordstrom, Inc. |
||||||||
4.375% due 04/01/30 |
410,000 | 317,914 | ||||||
6.950% due 03/15/28 |
172,000 | 161,510 | ||||||
Odeon Finco PLC (United Kingdom) |
100,000 | 92,091 | ||||||
Park River Holdings, Inc. |
100,000 | 68,295 | ||||||
Patrick Industries, Inc. |
100,000 | 98,406 | ||||||
Penn Entertainment, Inc. |
||||||||
4.125% due 07/01/29 ~ |
200,000 | 166,971 | ||||||
5.625% due 01/15/27 ~ |
100,000 | 94,014 | ||||||
Penske Automotive Group, Inc. |
139,000 | 130,857 | ||||||
Premier Entertainment Sub LLC/Premier Entertainment Finance Corp. |
438,000 | 323,846 | ||||||
QVC, Inc. |
||||||||
4.450% due 02/15/25 |
335,000 | 198,340 | ||||||
4.750% due 02/15/27 |
175,000 | 73,732 | ||||||
4.850% due 04/01/24 |
100,000 | 80,127 | ||||||
Resideo Funding, Inc. |
100,000 | 83,241 | ||||||
Resorts World Las Vegas LLC/RWLV Capital, Inc. |
400,000 | 309,245 | ||||||
Ritchie Bros Holdings, Inc. (Canada) |
||||||||
6.750% due 03/15/28 ~ |
81,000 | 83,517 | ||||||
7.750% due 03/15/31 ~ |
87,000 | 91,286 | ||||||
Rite Aid Corp. |
248,000 | 118,714 | ||||||
Royal Caribbean Cruises Ltd. |
||||||||
5.500% due 04/01/28 ~ |
450,000 | 397,800 | ||||||
7.250% due 01/15/30 ~ |
230,000 | 231,645 | ||||||
11.500% due 06/01/25 ~ |
334,000 | 356,441 | ||||||
11.625% due 08/15/27 ~ |
167,000 | 179,525 | ||||||
Sands China Ltd. (Macau) |
||||||||
2.800% due 03/08/27 |
200,000 | 171,747 | ||||||
3.350% due 03/08/29 |
200,000 | 166,297 | ||||||
3.750% due 08/08/31 |
200,000 | 160,819 |
Principal |
Value |
|||||||
4.875% due 06/18/30 |
$130,000 | $115,294 | ||||||
5.625% due 08/08/25 |
655,000 | 638,979 | ||||||
5.900% due 08/08/28 |
200,000 | 190,024 | ||||||
Scientific Games International, Inc. |
||||||||
7.000% due 05/15/28 ~ |
224,000 | 221,978 | ||||||
7.250% due 11/15/29 ~ |
156,000 | 156,443 | ||||||
Scotts Miracle-Gro Co. |
||||||||
4.500% due 10/15/29 |
200,000 | 172,186 | ||||||
5.250% due 12/15/26 |
100,000 | 95,607 | ||||||
SeaWorld Parks & Entertainment, Inc. |
112,000 | 101,218 | ||||||
Sonic Automotive, Inc. |
390,000 | 314,870 | ||||||
Speedway Motorsports LLC/Speedway Funding II, Inc. |
250,000 | 229,736 | ||||||
Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd. |
410,000 | 412,082 | ||||||
SRS Distribution, Inc. |
||||||||
4.625% due 07/01/28 ~ |
81,000 | 72,047 | ||||||
6.000% due 12/01/29 ~ |
310,000 | 256,410 | ||||||
6.125% due 07/01/29 ~ |
133,000 | 112,385 | ||||||
Staples, Inc. |
||||||||
7.500% due 04/15/26 ~ |
750,000 | 657,825 | ||||||
10.750% due 04/15/27 ~ |
97,000 | 70,454 | ||||||
Station Casinos LLC |
||||||||
4.500% due 02/15/28 ~ |
190,000 | 171,698 | ||||||
4.625% due 12/01/31 ~ |
86,000 | 72,710 | ||||||
Suburban Propane Partners LP/Suburban Energy Finance Corp. |
||||||||
5.000% due 06/01/31 ~ |
283,000 | 247,618 | ||||||
5.875% due 03/01/27 |
300,000 | 291,408 | ||||||
Thor Industries, Inc. |
110,000 | 91,076 | ||||||
Titan International, Inc. |
200,000 | 180,386 | ||||||
Travel & Leisure Co. |
300,000 | 299,346 | ||||||
TRI Pointe Group, Inc./TRI Pointe Homes, Inc. |
200,000 | 199,191 | ||||||
Tri Pointe Homes, Inc. |
100,000 | 95,141 | ||||||
Under Armour, Inc. |
300,000 | 277,476 | ||||||
United Airlines Holdings, Inc. |
150,000 | 146,431 | ||||||
United Airlines, Inc. |
96,000 | 91,956 | ||||||
Universal Entertainment Corp. (Japan) |
250,000 | 235,551 | ||||||
US Airways Pass-Through Trust Class A |
88,766 | 83,079 | ||||||
Vail Resorts, Inc. |
235,000 | 235,766 | ||||||
Victorias Secret & Co. |
188,000 | 152,538 | ||||||
Viking Cruises Ltd. |
||||||||
5.875% due 09/15/27 ~ |
27,000 | 23,277 | ||||||
7.000% due 02/15/29 ~ |
190,000 | 163,163 | ||||||
Viking Ocean Cruises Ship VII Ltd. |
300,000 | 257,813 | ||||||
Wesco Aircraft Holdings, Inc. |
||||||||
8.500% due 11/15/24 ~ |
222,000 | 16,650 | ||||||
13.125% due 11/15/27 ~ |
262,000 | 23,580 | ||||||
Wheel Pros, Inc. |
100,000 | 45,500 | ||||||
White Cap Buyer LLC |
170,000 | 147,621 | ||||||
William Carter Co. |
214,000 | 208,210 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
226
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Winnebago Industries, Inc. |
$200,000 | $191,560 | ||||||
WMG Acquisition Corp. |
||||||||
3.000% due 02/15/31 ~ |
221,000 | 184,970 | ||||||
3.875% due 07/15/30 ~ |
200,000 | 175,803 | ||||||
Wyndham Hotels & Resorts, Inc. |
106,000 | 97,751 | ||||||
Wynn Macau Ltd. (Macau) |
||||||||
5.125% due 12/15/29 ~ |
390,000 | 319,880 | ||||||
5.625% due 08/26/28 ~ |
300,000 | 255,486 | ||||||
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp. |
175,000 | 177,672 | ||||||
Yum! Brands, Inc. |
||||||||
5.350% due 11/01/43 |
100,000 | 85,067 | ||||||
6.875% due 11/15/37 |
100,000 | 106,191 | ||||||
|
|
|||||||
45,358,591 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 14.7% |
| |||||||
Acadia Healthcare Co., Inc. |
225,000 | 211,702 | ||||||
AdaptHealth LLC |
||||||||
4.625% due 08/01/29 ~ |
190,000 | 158,391 | ||||||
5.125% due 03/01/30 ~ |
177,000 | 150,330 | ||||||
ADT Security Corp. |
||||||||
4.125% due 08/01/29 ~ |
465,000 | 415,257 | ||||||
4.875% due 07/15/32 ~ |
200,000 | 176,669 | ||||||
Adtalem Global Education, Inc. |
250,000 | 237,472 | ||||||
AHP Health Partners, Inc. |
150,000 | 126,389 | ||||||
Air Methods Corp. |
330,000 | 21,531 | ||||||
Akumin Escrow, Inc. |
100,000 | 70,096 | ||||||
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC |
||||||||
3.250% due 03/15/26 ~ |
203,000 | 191,220 | ||||||
6.500% due 02/15/28 ~ |
225,000 | 225,800 | ||||||
7.500% due 03/15/26 ~ |
125,000 | 128,370 | ||||||
Allied Universal Holdco LLC/Allied Universal Finance Corp. |
297,000 | 264,998 | ||||||
Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL |
266,000 | 225,354 | ||||||
AMN Healthcare, Inc. |
||||||||
4.000% due 04/15/29 ~ |
150,000 | 132,916 | ||||||
4.625% due 10/01/27 ~ |
217,000 | 201,412 | ||||||
APi Group DE, Inc. |
150,000 | 128,976 | ||||||
Aptim Corp. |
150,000 | 105,750 | ||||||
APX Group, Inc. |
200,000 | 199,221 | ||||||
Arrow Bidco LLC |
78,000 | 78,090 | ||||||
ASGN, Inc. |
79,000 | 73,804 | ||||||
B&G Foods, Inc. |
399,000 | 371,996 | ||||||
Bausch Health Cos., Inc. |
||||||||
4.875% due 06/01/28 ~ |
410,000 | 242,269 | ||||||
5.500% due 11/01/25 ~ |
346,000 | 284,865 | ||||||
5.750% due 08/15/27 ~ |
140,000 | 87,338 | ||||||
6.125% due 02/01/27 ~ |
185,000 | 119,921 | ||||||
7.000% due 01/15/28 ~ |
388,000 | 156,636 | ||||||
7.250% due 05/30/29 ~ |
98,000 | 37,621 | ||||||
9.000% due 12/15/25 ~ |
50,000 | 39,861 | ||||||
11.000% due 09/30/28 ~ |
539,000 | 399,313 |
Principal |
Value |
|||||||
BC Ltd. (Canada) |
$106,000 | $105,205 | ||||||
Block, Inc. |
483,000 | 397,130 | ||||||
Brinks Co. |
||||||||
4.625% due 10/15/27 ~ |
197,000 | 185,869 | ||||||
5.500% due 07/15/25 ~ |
150,000 | 148,754 | ||||||
C&S Group Enterprises LLC |
300,000 | 231,576 | ||||||
Cano Health LLC |
125,000 | 69,063 | ||||||
Central Garden & Pet Co. |
335,000 | 296,307 | ||||||
Charles River Laboratories International, Inc. |
||||||||
3.750% due 03/15/29 ~ |
133,000 | 118,191 | ||||||
4.000% due 03/15/31 ~ |
200,000 | 175,179 | ||||||
4.250% due 05/01/28 ~ |
192,000 | 179,923 | ||||||
Chobani LLC/Chobani Finance Corp., Inc. |
350,000 | 319,335 | ||||||
CHS/Community Health Systems, Inc. |
||||||||
4.750% due 02/15/31 ~ |
115,000 | 85,020 | ||||||
5.250% due 05/15/30 ~ |
695,000 | 545,818 | ||||||
5.625% due 03/15/27 ~ |
105,000 | 92,289 | ||||||
6.000% due 01/15/29 ~ |
300,000 | 254,067 | ||||||
6.125% due 04/01/30 ~ |
194,000 | 117,085 | ||||||
CoreCivic, Inc. |
||||||||
4.750% due 10/15/27 |
60,000 | 52,973 | ||||||
8.250% due 04/15/26 |
135,000 | 136,203 | ||||||
Darling Ingredients, Inc. |
||||||||
5.250% due 04/15/27 ~ |
99,000 | 96,616 | ||||||
6.000% due 06/15/30 ~ |
145,000 | 144,637 | ||||||
DaVita, Inc. |
454,000 | 358,533 | ||||||
Deluxe Corp. |
70,000 | 51,255 | ||||||
Edgewell Personal Care Co. |
||||||||
4.125% due 04/01/29 ~ |
125,000 | 109,655 | ||||||
5.500% due 06/01/28 ~ |
100,000 | 95,941 | ||||||
Elanco Animal Health, Inc. |
130,000 | 123,106 | ||||||
Embecta Corp. |
||||||||
5.000% due 02/15/30 ~ |
80,000 | 68,903 | ||||||
6.750% due 02/15/30 ~ |
100,000 | 91,122 | ||||||
Encompass Health Corp. |
100,000 | 99,331 | ||||||
Envision Healthcare Corp. |
150,000 | 28,896 | ||||||
FAGE International SA/FAGE USA Dairy Industry, Inc. (Luxembourg) |
100,000 | 93,482 | ||||||
Garda World Security Corp. (Canada) |
||||||||
4.625% due 02/15/27 ~ |
400,000 | 359,547 | ||||||
6.000% due 06/01/29 ~ |
150,000 | 119,443 | ||||||
7.750% due 02/15/28 ~ |
80,000 | 78,920 | ||||||
9.500% due 11/01/27 ~ |
78,000 | 74,082 | ||||||
Gartner, Inc. |
||||||||
3.750% due 10/01/30 ~ |
397,000 | 356,712 | ||||||
4.500% due 07/01/28 ~ |
169,000 | 160,578 | ||||||
GEO Group, Inc. |
163,000 | 164,889 | ||||||
Graham Holdings Co. |
100,000 | 98,105 | ||||||
Grifols Escrow Issuer SA (Spain) |
200,000 | 164,202 | ||||||
H-Food Holdings LLC/Hearthside Finance Co., Inc. |
400,000 | 247,940 | ||||||
HealthEquity, Inc. |
395,000 | 351,439 | ||||||
Hologic, Inc. |
191,000 | 185,681 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
227
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Ingles Markets, Inc. |
$225,000 | $195,750 | ||||||
Korn Ferry |
150,000 | 141,887 | ||||||
Kronos Acquisition Holdings, Inc./KIK Custom Products, Inc. (Canada) |
255,000 | 233,487 | ||||||
Land OLakes Capital Trust I |
43,000 | 41,065 | ||||||
Lannett Co., Inc. |
50,000 | 8,313 | ||||||
Legacy LifePoint Health LLC |
||||||||
4.375% due 02/15/27 ~ |
230,000 | 188,332 | ||||||
6.750% due 04/15/25 ~ |
180,000 | 171,000 | ||||||
Mallinckrodt International Finance SA/Mallinckrodt CB LLC |
250,000 | 204,875 | ||||||
Medline Borrower LP |
||||||||
3.875% due 04/01/29 ~ |
255,000 | 221,508 | ||||||
5.250% due 10/01/29 ~ |
388,000 | 337,004 | ||||||
Metis Merger Sub LLC |
100,000 | 83,382 | ||||||
ModivCare Escrow Issuer, Inc. |
405,000 | 344,293 | ||||||
ModivCare, Inc. |
72,000 | 69,123 | ||||||
Molina Healthcare, Inc. |
||||||||
3.875% due 05/15/32 ~ |
345,000 | 290,249 | ||||||
4.375% due 06/15/28 ~ |
150,000 | 139,680 | ||||||
MPH Acquisition Holdings LLC |
290,000 | 230,826 | ||||||
Nathans Famous, Inc. |
13,000 | 12,966 | ||||||
Neptune Bidco US, Inc. |
625,000 | 580,062 | ||||||
NESCO Holdings II, Inc. |
300,000 | 271,708 | ||||||
Option Care Health, Inc. |
63,000 | 55,706 | ||||||
Organon & Co./Organon Foreign Debt Co.-Issuer BV |
||||||||
4.125% due 04/30/28 ~ |
504,000 | 461,165 | ||||||
5.125% due 04/30/31 ~ |
500,000 | 444,289 | ||||||
Oriflame Investment Holding PLC (Switzerland) |
200,000 | 122,000 | ||||||
Owens & Minor, Inc. |
||||||||
4.500% due 03/31/29 ~ |
80,000 | 62,508 | ||||||
6.625% due 04/01/30 ~ |
139,000 | 119,491 | ||||||
PECF USS Intermediate Holding III Corp. |
206,000 | 137,051 | ||||||
Performance Food Group, Inc. |
158,000 | 142,051 | ||||||
Perrigo Finance Unlimited Co. |
||||||||
3.900% due 12/15/24 |
200,000 | 196,087 | ||||||
4.900% due 12/15/44 |
200,000 | 141,516 | ||||||
Post Holdings, Inc. |
||||||||
4.500% due 09/15/31 ~ |
500,000 | 440,500 | ||||||
5.750% due 03/01/27 ~ |
322,000 | 314,613 | ||||||
Prime Security Services Borrower LLC/Prime Finance, Inc. |
||||||||
3.375% due 08/31/27 ~ |
410,000 | 367,959 | ||||||
5.250% due 04/15/24 ~ |
197,000 | 195,050 | ||||||
5.750% due 04/15/26 ~ |
246,000 | 244,395 | ||||||
6.250% due 01/15/28 ~ |
50,000 | 46,797 | ||||||
Primo Water Holdings, Inc. (Canada) |
188,000 | 164,272 | ||||||
Radiology Partners, Inc. |
155,000 | 85,854 | ||||||
RCN Corp. |
9,000 | 830 | ||||||
RegionalCare Hospital Partners Holdings, Inc./LifePoint Health, Inc. |
50,000 | 40,489 |
Principal |
Value |
|||||||
RP Escrow Issuer LLC |
$300,000 | $227,604 | ||||||
Sabre GLBL, Inc. |
||||||||
7.375% due 09/01/25 ~ |
518,000 | 463,351 | ||||||
9.250% due 04/15/25 ~ |
50,000 | 47,148 | ||||||
11.250% due 12/15/27 ~ |
105,000 | 97,909 | ||||||
Safeway, Inc. |
150,000 | 150,566 | ||||||
SEG Holding LLC/SEG Finance Corp. |
200,000 | 190,098 | ||||||
Select Medical Corp. |
424,000 | 411,706 | ||||||
Service Corp. International |
||||||||
3.375% due 08/15/30 |
426,000 | 363,548 | ||||||
5.125% due 06/01/29 |
206,000 | 199,241 | ||||||
Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc. |
300,000 | 282,358 | ||||||
Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed |
245,000 | 199,408 | ||||||
Sothebys |
200,000 | 189,400 | ||||||
Sothebys/Bidfair Holdings, Inc. |
150,000 | 124,581 | ||||||
Spectrum Brands, Inc. |
||||||||
5.000% due 10/01/29 ~ |
86,000 | 74,746 | ||||||
5.750% due 07/15/25 |
200,000 | 197,696 | ||||||
Surgery Center Holdings, Inc. |
100,000 | 102,059 | ||||||
Team Health Holdings, Inc. |
200,000 | 120,610 | ||||||
Teleflex, Inc. |
95,000 | 90,454 | ||||||
Tenet Healthcare Corp. |
||||||||
4.375% due 01/15/30 |
536,000 | 481,542 | ||||||
4.625% due 09/01/24 |
87,000 | 85,555 | ||||||
4.875% due 01/01/26 |
545,000 | 534,893 | ||||||
5.125% due 11/01/27 |
276,000 | 265,236 | ||||||
6.125% due 10/01/28 |
655,000 | 628,371 | ||||||
6.250% due 02/01/27 |
530,000 | 521,785 | ||||||
Toledo Hospital |
164,000 | 136,828 | ||||||
TriNet Group, Inc. |
115,000 | 98,474 | ||||||
Turning Point Brands, Inc. |
100,000 | 90,668 | ||||||
United Natural Foods, Inc. |
315,000 | 293,048 | ||||||
United Rentals North America, Inc. |
||||||||
3.875% due 11/15/27 |
175,000 | 164,281 | ||||||
4.875% due 01/15/28 |
115,000 | 110,089 | ||||||
5.250% due 01/15/30 |
142,000 | 136,813 | ||||||
5.500% due 05/15/27 |
130,000 | 128,896 | ||||||
US Acute Care Solutions LLC |
294,000 | 262,091 | ||||||
US Foods, Inc. |
169,000 | 170,697 | ||||||
Verscend Escrow Corp. |
325,000 | 325,310 | ||||||
WASH Multifamily Acquisition, Inc. |
255,000 | 241,577 | ||||||
Williams Scotsman International, Inc. |
||||||||
4.625% due 08/15/28 ~ |
100,000 | 91,089 | ||||||
6.125% due 06/15/25 ~ |
105,000 | 104,450 | ||||||
ZipRecruiter, Inc. |
100,000 | 85,625 | ||||||
|
|
|||||||
28,534,504 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
228
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Diversified - 0.1% |
| |||||||
Stena AB (Sweden) |
$100,000 | $99,618 | ||||||
|
|
|||||||
Energy - 11.1% |
| |||||||
Aethon United BR LP/Aethon United Finance Corp. |
340,000 | 333,953 | ||||||
Antero Midstream Partners LP/Antero Midstream Finance Corp. |
||||||||
5.375% due 06/15/29 ~ |
135,000 | 127,212 | ||||||
5.750% due 03/01/27 ~ |
200,000 | 195,660 | ||||||
5.750% due 01/15/28 ~ |
197,000 | 189,373 | ||||||
Antero Resources Corp. |
74,000 | 75,738 | ||||||
Apache Corp. |
||||||||
4.250% due 01/15/30 |
102,000 | 93,173 | ||||||
5.100% due 09/01/40 |
362,000 | 307,347 | ||||||
Ascent Resources Utica Holdings LLC/ARU Finance Corp. |
||||||||
7.000% due 11/01/26 ~ |
80,000 | 77,406 | ||||||
8.250% due 12/31/28 ~ |
165,000 | 159,793 | ||||||
Athabasca Oil Corp. (Canada) |
211,000 | 220,748 | ||||||
Baytex Energy Corp. (Canada) |
185,000 | 189,613 | ||||||
Blue Racer Midstream LLC/Blue Racer Finance Corp. |
||||||||
6.625% due 07/15/26 ~ |
50,000 | 48,564 | ||||||
7.625% due 12/15/25 ~ |
245,000 | 242,770 | ||||||
Buckeye Partners LP |
||||||||
3.950% due 12/01/26 |
175,000 | 158,559 | ||||||
4.125% due 03/01/25 ~ |
127,000 | 120,293 | ||||||
4.500% due 03/01/28 ~ |
105,000 | 94,903 | ||||||
5.850% due 11/15/43 |
250,000 | 189,129 | ||||||
Calumet Specialty Products Partners LP/Calumet Finance Corp. |
162,000 | 162,960 | ||||||
CGG SA (France) |
300,000 | 250,482 | ||||||
Chesapeake Energy Corp. |
||||||||
5.875% due 02/01/29 ~ |
185,000 | 176,319 | ||||||
6.750% due 04/15/29 ~ |
300,000 | 298,117 | ||||||
Chord Energy Corp. |
150,000 | 148,753 | ||||||
Civitas Resources, Inc. |
60,000 | 56,475 | ||||||
CNX Midstream Partners LP |
40,000 | 34,452 | ||||||
CNX Resources Corp. |
||||||||
6.000% due 01/15/29 ~ |
250,000 | 234,050 | ||||||
7.250% due 03/14/27 ~ |
23,000 | 22,910 | ||||||
Comstock Resources, Inc. |
85,000 | 77,855 | ||||||
Crescent Energy Finance LLC |
||||||||
7.250% due 05/01/26 ~ |
235,000 | 221,116 | ||||||
9.250% due 02/15/28 ~ |
115,000 | 110,372 | ||||||
Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp. |
||||||||
5.625% due 05/01/27 ~ |
140,000 | 135,047 | ||||||
5.750% due 04/01/25 |
85,000 | 83,113 | ||||||
6.000% due 02/01/29 ~ |
105,000 | 100,091 | ||||||
7.375% due 02/01/31 ~ |
115,000 | 115,111 | ||||||
8.000% due 04/01/29 ~ |
150,000 | 153,135 | ||||||
CrownRock LP/CrownRock Finance, Inc. |
94,000 | 92,242 | ||||||
CSI Compressco LP/CSI Compressco Finance, Inc. |
200,000 | 190,752 | ||||||
CVR Energy, Inc. |
125,000 | 114,846 | ||||||
DCP Midstream Operating LP |
100,000 | 97,830 |
Principal |
Value |
|||||||
DT Midstream, Inc. |
||||||||
4.125% due 06/15/29 ~ |
$95,000 | $83,396 | ||||||
4.375% due 06/15/31 ~ |
200,000 | 174,516 | ||||||
Earthstone Energy Holdings LLC |
190,000 | 184,549 | ||||||
Encino Acquisition Partners Holdings LLC |
325,000 | 284,682 | ||||||
Energy Ventures Gom LLC/EnVen Finance Corp. |
85,000 | 88,684 | ||||||
EnLink Midstream LLC |
||||||||
5.625% due 01/15/28 ~ |
75,000 | 73,571 | ||||||
6.500% due 09/01/30 ~ |
245,000 | 248,013 | ||||||
EnLink Midstream Partners LP |
||||||||
4.150% due 06/01/25 |
120,000 | 116,510 | ||||||
5.450% due 06/01/47 |
50,000 | 39,925 | ||||||
EnQuest PLC (United Kingdom) |
200,000 | 185,433 | ||||||
Enviva Partners LP/Enviva Partners Finance Corp. |
260,000 | 236,869 | ||||||
EQM Midstream Partners LP |
||||||||
4.000% due 08/01/24 |
43,000 | 41,402 | ||||||
4.750% due 01/15/31 ~ |
108,000 | 89,790 | ||||||
6.000% due 07/01/25 ~ |
221,000 | 218,750 | ||||||
7.500% due 06/01/27 ~ |
400,000 | 401,988 | ||||||
7.500% due 06/01/30 ~ |
457,000 | 443,260 | ||||||
FTAI Infra Escrow Holdings LLC |
200,000 | 197,881 | ||||||
Genesis Energy LP/Genesis Energy Finance Corp. |
150,000 | 152,010 | ||||||
Global Partners LP/GLP Finance Corp. |
||||||||
6.875% due 01/15/29 |
100,000 | 93,065 | ||||||
7.000% due 08/01/27 |
150,000 | 144,118 | ||||||
Gulfport Energy Corp. |
200,000 | 198,240 | ||||||
Harbour Energy PLC (United Kingdom) |
200,000 | 175,262 | ||||||
Hess Midstream Operations LP |
||||||||
4.250% due 02/15/30 ~ |
230,000 | 205,688 | ||||||
5.625% due 02/15/26 ~ |
200,000 | 198,177 | ||||||
Hilcorp Energy I LP/Hilcorp Finance Co. |
50,000 | 46,170 | ||||||
Holly Energy Partners LP/Holly Energy Finance Corp. |
||||||||
5.000% due 02/01/28 ~ |
59,000 | 55,157 | ||||||
6.375% due 04/15/27 ~ |
35,000 | 34,649 | ||||||
Howard Midstream Energy Partners LLC |
100,000 | 94,398 | ||||||
Ithaca Energy North Sea PLC (United Kingdom) |
200,000 | 190,896 | ||||||
Kinetik Holdings LP |
290,000 | 279,560 | ||||||
Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance Corp. |
330,000 | 321,275 | ||||||
Martin Midstream Partners LP/Martin Midstream Finance Corp. |
275,000 | 263,596 | ||||||
Matador Resources Co. |
330,000 | 326,000 | ||||||
Moss Creek Resources Holdings, Inc. |
||||||||
7.500% due 01/15/26 ~ |
50,000 | 46,423 | ||||||
10.500% due 05/15/27 ~ |
100,000 | 95,208 | ||||||
Murphy Oil Corp. |
||||||||
5.750% due 08/15/25 |
43,000 | 42,622 | ||||||
5.875% due 12/01/27 |
117,000 | 114,099 | ||||||
6.375% due 07/15/28 |
323,000 | 318,565 | ||||||
Nabors Industries Ltd. |
363,000 | 346,569 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
229
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Nabors Industries, Inc. |
| |||||||
5.750% due 02/01/25 |
$85,000 | $82,444 | ||||||
7.375% due 05/15/27 ~ |
271,000 | 265,661 | ||||||
Neptune Energy Bondco PLC (United Kingdom) |
250,000 | 242,591 | ||||||
New Fortress Energy, Inc. |
||||||||
6.500% due 09/30/26 ~ |
300,000 | 276,274 | ||||||
6.750% due 09/15/25 ~ |
338,000 | 325,683 | ||||||
Northriver Midstream Finance LP (Canada) |
250,000 | 234,899 | ||||||
NuStar Logistics LP |
171,000 | 167,832 | ||||||
Occidental Petroleum Corp. |
||||||||
3.500% due 08/15/29 |
386,000 | 350,310 | ||||||
4.400% due 04/15/46 |
2,175,000 | 1,727,026 | ||||||
6.950% due 07/01/24 |
71,000 | 71,958 | ||||||
Oceaneering International, Inc. |
||||||||
4.650% due 11/15/24 |
200,000 | 196,000 | ||||||
6.000% due 02/01/28 |
100,000 | 94,081 | ||||||
Parkland Corp. (Canada) |
||||||||
4.500% due 10/01/29 ~ |
140,000 | 124,568 | ||||||
5.875% due 07/15/27 ~ |
132,000 | 128,220 | ||||||
Patterson-UTI Energy, Inc. |
250,000 | 222,246 | ||||||
PDC Energy, Inc. |
100,000 | 99,700 | ||||||
Precision Drilling Corp. (Canada) |
||||||||
6.875% due 01/15/29 ~ |
125,000 | 113,550 | ||||||
7.125% due 01/15/26 ~ |
200,000 | 195,512 | ||||||
Puma International Financing SA (Singapore) |
200,000 | 178,343 | ||||||
Range Resources Corp. |
29,000 | 26,472 | ||||||
Rockies Express Pipeline LLC |
250,000 | 234,053 | ||||||
SM Energy Co. |
||||||||
5.625% due 06/01/25 |
113,000 | 109,689 | ||||||
6.625% due 01/15/27 |
100,000 | 96,163 | ||||||
6.750% due 09/15/26 |
60,000 | 58,895 | ||||||
Southwestern Energy Co. |
||||||||
5.375% due 03/15/30 |
50,000 | 47,066 | ||||||
5.700% due 01/23/25 |
14,000 | 14,021 | ||||||
8.375% due 09/15/28 |
150,000 | 157,840 | ||||||
Summit Midstream Holdings LLC/Summit Midstream Finance Corp. |
140,000 | 116,737 | ||||||
Sunnova Energy Corp. |
110,000 | 93,361 | ||||||
Sunoco LP/Sunoco Finance Corp. |
359,000 | 354,870 | ||||||
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp. |
||||||||
6.000% due 12/31/30 ~ |
215,000 | 192,426 | ||||||
6.000% due 09/01/31 ~ |
200,000 | 177,111 | ||||||
7.500% due 10/01/25 ~ |
300,000 | 300,165 | ||||||
Tap Rock Resources LLC |
260,000 | 228,012 | ||||||
TerraForm Power Operating LLC |
177,000 | 158,993 | ||||||
TransMontaigne Partners LP/TLP Finance Corp. |
50,000 | 43,093 | ||||||
Transocean, Inc. |
490,000 | 381,941 | ||||||
Venture Global Calcasieu Pass LLC |
||||||||
4.125% due 08/15/31 ~ |
44,000 | 38,702 | ||||||
6.250% due 01/15/30 ~ |
243,000 | 245,061 | ||||||
Vital Energy, Inc. |
||||||||
9.500% due 01/15/25 |
180,000 | 181,433 | ||||||
10.125% due 01/15/28 |
125,000 | 120,149 | ||||||
W&T Offshore, Inc. |
150,000 | 147,116 |
Principal |
Value |
|||||||
Weatherford International Ltd. |
$43,000 | $44,164 | ||||||
Western Midstream Operating LP |
||||||||
4.300% due 02/01/30 |
50,000 | 45,563 | ||||||
4.650% due 07/01/26 |
75,000 | 72,563 | ||||||
5.500% due 08/15/48 |
354,000 | 305,366 | ||||||
5.500% due 02/01/50 |
50,000 | 42,500 | ||||||
|
|
|||||||
21,681,651 | ||||||||
|
|
|||||||
Financial - 10.0% |
| |||||||
Acrisure LLC/Acrisure Finance, Inc. |
||||||||
4.250% due 02/15/29 ~ |
340,000 | 290,314 | ||||||
7.000% due 11/15/25 ~ |
275,000 | 258,004 | ||||||
Advisor Group Holdings, Inc. |
100,000 | 101,590 | ||||||
AG Issuer LLC |
70,000 | 63,127 | ||||||
AG TTMT Escrow Issuer LLC |
120,000 | 120,900 | ||||||
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer |
||||||||
4.250% due 10/15/27 ~ |
220,000 | 197,310 | ||||||
5.875% due 11/01/29 ~ |
200,000 | 169,015 | ||||||
6.750% due 10/15/27 ~ |
350,000 | 324,957 | ||||||
6.750% due 04/15/28 ~ |
80,000 | 79,182 | ||||||
Ally Financial, Inc. |
||||||||
5.750% due 11/20/25 |
300,000 | 282,470 | ||||||
6.700% due 02/14/33 |
150,000 | 133,450 | ||||||
AmWINS Group, Inc. |
85,000 | 75,337 | ||||||
Apollo Commercial Real Estate Finance, Inc. |
150,000 | 105,671 | ||||||
Aretec Escrow Issuer, Inc. |
300,000 | 245,646 | ||||||
Assurant, Inc. |
200,000 | 187,786 | ||||||
AssuredPartners, Inc. |
64,000 | 62,333 | ||||||
Blackstone Mortgage Trust, Inc. |
250,000 | 196,514 | ||||||
Brightsphere Investment Group, Inc. |
100,000 | 93,500 | ||||||
Brookfield Property REIT, Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI Sellco LLC |
||||||||
4.500% due 04/01/27 ~ |
150,000 | 120,585 | ||||||
5.750% due 05/15/26 ~ |
300,000 | 268,665 | ||||||
Burford Capital Global Finance LLC |
||||||||
6.250% due 04/15/28 ~ |
250,000 | 215,763 | ||||||
6.875% due 04/15/30 ~ |
200,000 | 172,358 | ||||||
Coinbase Global, Inc. |
85,000 | 47,692 | ||||||
Credit Acceptance Corp. |
200,000 | 186,762 | ||||||
CTR Partnership LP/CareTrust Capital Corp. |
100,000 | 85,610 | ||||||
Cushman & Wakefield US Borrower LLC |
200,000 | 179,235 | ||||||
Enstar Finance LLC |
250,000 | 180,776 | ||||||
First Republic Bank |
210,000 | 115,762 | ||||||
Freedom Mortgage Corp. |
||||||||
6.625% due 01/15/27 ~ |
200,000 | 154,095 | ||||||
7.625% due 05/01/26 ~ |
190,000 | 152,880 | ||||||
Genworth Holdings, Inc. |
100,000 | 86,972 | ||||||
Global Net Lease, Inc./Global Net Lease Operating Partnership LP |
250,000 | 198,066 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
230
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
goeasy Ltd. (Canada) |
||||||||
4.375% due 05/01/26 ~ |
$75,000 | $65,699 | ||||||
5.375% due 12/01/24 ~ |
82,000 | 77,433 | ||||||
GTCR AP Finance, Inc. |
50,000 | 47,776 | ||||||
Hightower Holding LLC |
83,000 | 70,721 | ||||||
HUB International Ltd. |
645,000 | 634,537 | ||||||
Hunt Cos., Inc. |
200,000 | 156,561 | ||||||
Icahn Enterprises LP/Icahn Enterprises Finance Corp. |
||||||||
4.375% due 02/01/29 |
145,000 | 124,899 | ||||||
5.250% due 05/15/27 |
600,000 | 563,712 | ||||||
6.250% due 05/15/26 |
405,000 | 398,925 | ||||||
6.375% due 12/15/25 |
50,000 | 49,163 | ||||||
Intesa Sanpaolo SpA (Italy) |
700,000 | 672,778 | ||||||
Iron Mountain Information Management Services, Inc. |
150,000 | 128,952 | ||||||
Iron Mountain, Inc. |
||||||||
4.875% due 09/15/27 ~ |
425,000 | 402,265 | ||||||
5.000% due 07/15/28 ~ |
65,000 | 60,555 | ||||||
5.250% due 07/15/30 ~ |
125,000 | 112,828 | ||||||
Jane Street Group/JSG Finance, Inc. |
350,000 | 313,761 | ||||||
Jefferson Capital Holdings LLC |
75,000 | 63,724 | ||||||
Jones Deslauriers Insurance Management, Inc. (Canada) |
83,000 | 86,112 | ||||||
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp. |
||||||||
4.750% due 06/15/29 ~ |
225,000 | 162,881 | ||||||
5.250% due 10/01/25 ~ |
250,000 | 220,212 | ||||||
LD Holdings Group LLC |
96,000 | 60,601 | ||||||
Liberty Mutual Group, Inc. |
100,000 | 59,569 | ||||||
LPL Holdings, Inc. |
||||||||
4.375% due 05/15/31 ~ |
250,000 | 221,300 | ||||||
4.625% due 11/15/27 ~ |
150,000 | 141,885 | ||||||
Midcap Financial Issuer Trust |
250,000 | 197,814 | ||||||
MPT Operating Partnership LP/MPT Finance Corp. |
||||||||
3.500% due 03/15/31 |
190,000 | 128,079 | ||||||
5.000% due 10/15/27 |
320,000 | 263,554 | ||||||
5.250% due 08/01/26 |
500,000 | 450,000 | ||||||
Nationstar Mortgage Holdings, Inc. |
105,000 | 80,794 | ||||||
Navient Corp. |
||||||||
4.875% due 03/15/28 |
100,000 | 84,225 | ||||||
5.000% due 03/15/27 |
390,000 | 344,015 | ||||||
5.625% due 08/01/33 |
150,000 | 111,469 | ||||||
6.125% due 03/25/24 |
100,000 | 98,759 | ||||||
6.750% due 06/25/25 |
335,000 | 325,914 | ||||||
6.750% due 06/15/26 |
100,000 | 97,623 | ||||||
NFP Corp. |
||||||||
6.875% due 08/15/28 ~ |
70,000 | 60,135 | ||||||
7.500% due 10/01/30 ~ |
133,000 | 128,649 | ||||||
Office Properties Income Trust REIT |
100,000 | 93,279 | ||||||
Ohio National Financial Services, Inc. |
400,000 | 380,976 | ||||||
OneMain Finance Corp. |
||||||||
3.500% due 01/15/27 |
355,000 | 298,343 | ||||||
4.000% due 09/15/30 |
160,000 | 120,144 | ||||||
6.625% due 01/15/28 |
216,000 | 198,245 | ||||||
6.875% due 03/15/25 |
238,000 | 230,860 | ||||||
7.125% due 03/15/26 |
210,000 | 202,083 | ||||||
Oxford Finance LLC/Oxford Finance Co.-Issuer II, Inc. |
75,000 | 70,218 |
Principal |
Value |
|||||||
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance
Co-Issuer |
$388,000 | $334,248 | ||||||
PennyMac Financial Services, Inc. |
||||||||
4.250% due 02/15/29 ~ |
210,000 | 167,427 | ||||||
5.375% due 10/15/25 ~ |
225,000 | 210,386 | ||||||
5.750% due 09/15/31 ~ |
100,000 | 79,299 | ||||||
Popular, Inc. |
125,000 | 123,780 | ||||||
PRA Group, Inc. |
75,000 | 75,054 | ||||||
Provident Funding Associates LP/PFG Finance Corp. |
50,000 | 44,393 | ||||||
Radian Group, Inc. |
150,000 | 141,211 | ||||||
Realogy Group LLC/Realogy Co-Issuer Corp. |
273,000 | 199,230 | ||||||
RHP Hotel Properties LP/RHP Finance Corp. |
110,000 | 99,492 | ||||||
Rocket Mortgage LLC/Rocket Mortgage Co.-Issuer, Inc. |
||||||||
2.875% due 10/15/26 ~ |
242,000 | 216,848 | ||||||
4.000% due 10/15/33 ~ |
50,000 | 39,749 | ||||||
Ryan Specialty Group LLC |
120,000 | 105,075 | ||||||
SBA Communications Corp. |
715,000 | 622,661 | ||||||
Service Properties Trust |
||||||||
4.650% due 03/15/24 |
100,000 | 97,635 | ||||||
4.750% due 10/01/26 |
150,000 | 125,397 | ||||||
5.500% due 12/15/27 |
100,000 | 89,604 | ||||||
SLM Corp. |
||||||||
3.125% due 11/02/26 |
175,000 | 148,959 | ||||||
4.200% due 10/29/25 |
110,000 | 99,105 | ||||||
Starwood Property Trust, Inc. |
||||||||
3.625% due 07/15/26 ~ |
110,000 | 91,508 | ||||||
3.750% due 12/31/24 ~ |
63,000 | 58,120 | ||||||
4.375% due 01/15/27 ~ |
125,000 | 103,451 | ||||||
4.750% due 03/15/25 |
138,000 | 129,956 | ||||||
StoneX Group, Inc. |
75,000 | 75,450 | ||||||
Synchrony Financial |
188,000 | 166,088 | ||||||
Synovus Financial Corp. |
100,000 | 81,498 | ||||||
UniCredit SpA (Italy) |
450,000 | 371,209 | ||||||
United Wholesale Mortgage LLC |
95,000 | 90,020 | ||||||
Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC |
150,000 | 87,938 | ||||||
Uniti Group LP/Uniti Group Finance, Inc./CSL Capital LLC |
||||||||
4.750% due 04/15/28 ~ |
250,000 | 193,467 | ||||||
6.500% due 02/15/29 ~ |
275,000 | 168,095 | ||||||
10.500% due 02/15/28 ~ |
186,000 | 180,587 | ||||||
USI, Inc. |
105,000 | 103,534 | ||||||
VistaJet Malta Finance PLC/XO Management Holding, Inc. (Switzerland) |
455,000 | 440,424 | ||||||
|
|
|||||||
19,375,252 | ||||||||
|
|
|||||||
Industrial - 10.9% |
| |||||||
Advanced Drainage Systems, Inc. |
82,000 | 80,443 | ||||||
AECOM |
165,000 | 163,605 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
231
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC |
||||||||
3.250% due 09/01/28 ~ |
$100,000 | $86,175 | ||||||
4.000% due 09/01/29 ~ |
350,000 | 274,209 | ||||||
6.000% due 06/15/27 ~ |
200,000 | 198,480 | ||||||
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc. |
200,000 | 197,189 | ||||||
Artera Services LLC |
90,000 | 77,522 | ||||||
ATS Corp. (Canada) |
200,000 | 177,611 | ||||||
Ball Corp. |
||||||||
4.000% due 11/15/23 |
71,000 | 70,235 | ||||||
4.875% due 03/15/26 |
265,000 | 263,304 | ||||||
5.250% due 07/01/25 |
190,000 | 188,931 | ||||||
6.875% due 03/15/28 |
155,000 | 160,583 | ||||||
Berry Global, Inc. |
89,000 | 85,763 | ||||||
Bombardier, Inc. (Canada) |
||||||||
6.000% due 02/15/28 ~ |
67,000 | 65,325 | ||||||
7.125% due 06/15/26 ~ |
366,000 | 367,647 | ||||||
7.500% due 02/01/29 ~ |
115,000 | 117,587 | ||||||
BWX Technologies, Inc. |
200,000 | 177,594 | ||||||
Cargo Aircraft Management, Inc. |
390,000 | 349,155 | ||||||
Cascades, Inc./Cascades USA, Inc. (Canada) |
250,000 | 236,059 | ||||||
Chart Industries, Inc. |
||||||||
7.500% due 01/01/30 ~ |
402,000 | 415,857 | ||||||
9.500% due 01/01/31 ~ |
100,000 | 105,596 | ||||||
Clean Harbors, Inc. |
100,000 | 95,456 | ||||||
Clearwater Paper Corp. |
||||||||
4.750% due 08/15/28 ~ |
250,000 | 224,912 | ||||||
5.375% due 02/01/25 ~ |
50,000 | 48,706 | ||||||
Clydesdale Acquisition Holdings, Inc. |
327,000 | 297,547 | ||||||
Covanta Holding Corp. |
200,000 | 172,475 | ||||||
CP Atlas Buyer, Inc. |
200,000 | 148,761 | ||||||
Crown Americas LLC/Crown Americas Capital Corp. V |
190,000 | 182,341 | ||||||
Crown Americas LLC/Crown Americas Capital Corp. VI |
250,000 | 243,716 | ||||||
EnerSys |
150,000 | 139,810 | ||||||
EnPro Industries, Inc. |
100,000 | 97,370 | ||||||
F-Brasile
SpA/F-Brasile US LLC (Italy) |
200,000 | 167,210 | ||||||
Fluor Corp. |
155,000 | 151,371 | ||||||
FXI Holdings, Inc. |
121,000 | 113,005 | ||||||
GFL Environmental, Inc. (Canada) |
||||||||
3.750% due 08/01/25 ~ |
506,000 | 486,785 | ||||||
4.250% due 06/01/25 ~ |
65,000 | 63,487 | ||||||
Graphic Packaging International LLC |
||||||||
3.750% due 02/01/30 ~ |
125,000 | 108,606 | ||||||
4.125% due 08/15/24 |
100,000 | 97,768 | ||||||
4.750% due 07/15/27 ~ |
200,000 | 190,876 | ||||||
Great Lakes Dredge & Dock Corp. |
250,000 | 189,275 | ||||||
Griffon Corp. |
125,000 | 116,066 | ||||||
Hillenbrand, Inc. |
Principal |
Value |
|||||||
3.750% due 03/01/31 |
$125,000 | $104,564 | ||||||
5.750% due 06/15/25 |
165,000 | 164,748 | ||||||
Howmet Aerospace, Inc. |
||||||||
5.950% due 02/01/37 |
147,000 | 148,279 | ||||||
6.750% due 01/15/28 |
257,000 | 270,194 | ||||||
6.875% due 05/01/25 |
12,000 | 12,469 | ||||||
Husky III Holding Ltd. (Canada) |
200,000 | 169,500 | ||||||
Imola Merger Corp. |
530,000 | 474,732 | ||||||
James Hardie International Finance DAC |
200,000 | 187,761 | ||||||
LABL, Inc. |
||||||||
5.875% due 11/01/28 ~ |
40,000 | 35,618 | ||||||
9.500% due 11/01/28 ~ |
43,000 | 43,430 | ||||||
Likewize Corp. |
120,000 | 109,170 | ||||||
LSB Industries, Inc. |
283,000 | 252,142 | ||||||
Madison IAQ LLC |
210,000 | 181,884 | ||||||
MasTec, Inc. |
100,000 | 89,654 | ||||||
Mauser Packaging Solutions Holding Co. |
||||||||
7.875% due 08/15/26 ~ |
350,000 | 350,317 | ||||||
9.250% due 04/15/27 ~ |
505,000 | 467,125 | ||||||
Mueller Water Products, Inc. |
50,000 | 44,709 | ||||||
NAC Aviation 29 DAC (Ireland) |
223,269 | 190,895 | ||||||
New Enterprise Stone & Lime Co., Inc. |
||||||||
5.250% due 07/15/28 ~ |
120,000 | 106,226 | ||||||
9.750% due 07/15/28 ~ |
250,000 | 238,975 | ||||||
Oscar AcquisitionCo LLC/Oscar Finance, Inc. |
100,000 | 86,138 | ||||||
Owens-Brockway Glass Container, Inc. |
||||||||
5.375% due 01/15/25 ~ |
48,000 | 47,292 | ||||||
5.875% due 08/15/23 ~ |
73,000 | 72,958 | ||||||
6.375% due 08/15/25 ~ |
300,000 | 300,428 | ||||||
Pactiv Evergreen Group Issuer LLC/Pactiv Evergreen Group Issuer, Inc. |
100,000 | 87,524 | ||||||
Pactiv Evergreen Group Issuer, Inc./Pactiv Evergreen Group Issuer LLC |
600,000 | 539,529 | ||||||
Pactiv LLC |
||||||||
7.950% due 12/15/25 |
100,000 | 101,522 | ||||||
8.375% due 04/15/27 |
100,000 | 98,866 | ||||||
Railworks Holdings LP/Railworks Rally, Inc. |
150,000 | 139,702 | ||||||
Rand Parent LLC |
230,000 | 216,447 | ||||||
Roller Bearing Co. of America, Inc. |
50,000 | 44,708 | ||||||
Sealed Air Corp. |
||||||||
5.000% due 04/15/29 ~ |
100,000 | 94,094 | ||||||
5.125% due 12/01/24 ~ |
50,000 | 49,706 | ||||||
5.500% due 09/15/25 ~ |
290,000 | 286,827 | ||||||
6.875% due 07/15/33 ~ |
54,000 | 54,240 | ||||||
Sealed Air Corp./Sealed Air Corp. |
107,000 | 108,305 | ||||||
Seaspan Corp. (Hong Kong) |
121,000 | 94,497 | ||||||
Sensata Technologies BV |
||||||||
5.000% due 10/01/25 ~ |
250,000 | 248,425 | ||||||
5.625% due 11/01/24 ~ |
200,000 | 199,600 | ||||||
5.875% due 09/01/30 ~ |
109,000 | 108,144 | ||||||
Silgan Holdings, Inc. |
140,000 | 131,908 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
232
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
Spirit AeroSystems, Inc. |
||||||||
3.850% due 06/15/26 |
$350,000 | $333,623 | ||||||
4.600% due 06/15/28 |
55,000 | 46,677 | ||||||
7.500% due 04/15/25 ~ |
75,000 | 75,074 | ||||||
SPX FLOW, Inc. |
167,000 | 144,308 | ||||||
Standard Industries, Inc. |
||||||||
3.375% due 01/15/31 ~ |
466,000 | 375,046 | ||||||
5.000% due 02/15/27 ~ |
460,000 | 437,511 | ||||||
Stericycle, Inc. |
||||||||
3.875% due 01/15/29 ~ |
324,000 | 283,247 | ||||||
5.375% due 07/15/24 ~ |
201,000 | 199,675 | ||||||
Summit Materials LLC/Summit Materials Finance Corp. |
||||||||
5.250% due 01/15/29 ~ |
165,000 | 156,167 | ||||||
6.500% due 03/15/27 ~ |
175,000 | 173,725 | ||||||
Tervita Corp. (Canada) |
210,000 | 225,897 | ||||||
Titan Acquisition Ltd./Titan Co.-Borrower LLC (Canada) |
155,000 | 129,971 | ||||||
TopBuild Corp. |
35,000 | 29,295 | ||||||
TransDigm UK Holdings PLC |
235,000 | 231,704 | ||||||
TransDigm, Inc. |
||||||||
4.625% due 01/15/29 |
488,000 | 434,340 | ||||||
6.250% due 03/15/26 ~ |
990,000 | 991,906 | ||||||
6.750% due 08/15/28 ~ |
689,000 | 696,751 | ||||||
8.000% due 12/15/25 ~ |
140,000 | 142,712 | ||||||
TriMas Corp. |
100,000 | 88,120 | ||||||
Trinity Industries, Inc. |
175,000 | 169,484 | ||||||
Triumph Group, Inc. |
137,000 | 137,315 | ||||||
Trivium Packaging Finance BV (Netherlands) |
200,000 | 182,192 | ||||||
TTM Technologies, Inc. |
390,000 | 339,848 | ||||||
Tutor Perini Corp. |
150,000 | 105,935 | ||||||
Waste Pro USA, Inc. |
240,000 | 220,965 | ||||||
Watco Cos LLC/Watco Finance Corp. |
200,000 | 187,720 | ||||||
WESCO Distribution, Inc. |
||||||||
7.125% due 06/15/25 ~ |
220,000 | 223,832 | ||||||
7.250% due 06/15/28 ~ |
190,000 | 195,278 | ||||||
Western Global Airlines LLC |
225,000 | 92,054 | ||||||
XPO CNW, Inc. |
250,000 | 226,594 | ||||||
|
|
|||||||
21,224,631 | ||||||||
|
|
|||||||
Technology - 2.8% |
| |||||||
Ahead DB Holdings LLC |
33,000 | 27,431 | ||||||
Alteryx, Inc. |
94,000 | 94,693 | ||||||
AthenaHealth Group, Inc. |
435,000 | 353,115 | ||||||
Black Knight InfoServ LLC |
164,000 | 149,445 | ||||||
Central Parent, Inc./CDK Global, Inc. |
185,000 | 181,999 | ||||||
Cloud Software Group Holdings, Inc. |
775,000 | 686,277 | ||||||
Conduent Business Services LLC/Conduent State & Local Solutions, Inc. |
100,000 | 78,989 | ||||||
Consensus Cloud Solutions, Inc. |
Principal |
Value |
|||||||
6.000% due 10/15/26 ~ |
$250,000 | $217,416 | ||||||
6.500% due 10/15/28 ~ |
90,000 | 74,718 | ||||||
Crowdstrike Holdings, Inc. |
115,000 | 100,467 | ||||||
CWT Travel Group, Inc. |
148,000 | 116,180 | ||||||
Diebold Nixdorf, Inc. |
101,747 | 25,978 | ||||||
Elastic NV |
165,000 | 141,045 | ||||||
Exela Intermediate LLC/Exela Finance, Inc. |
296,000 | 38,785 | ||||||
Fair Isaac Corp. |
100,000 | 100,030 | ||||||
McAfee Corp. |
465,000 | 390,318 | ||||||
NCR Corp. |
96,000 | 83,160 | ||||||
ON Semiconductor Corp. |
205,000 | 184,760 | ||||||
Open Text Corp. (Canada) |
117,000 | 98,619 | ||||||
PTC, Inc. |
||||||||
3.625% due 02/15/25 ~ |
77,000 | 74,332 | ||||||
4.000% due 02/15/28 ~ |
363,000 | 339,556 | ||||||
Rocket Software, Inc. |
200,000 | 157,706 | ||||||
Science Applications International Corp. |
160,000 | 149,188 | ||||||
Seagate HDD Cayman |
||||||||
4.875% due 03/01/24 |
300,000 | 296,637 | ||||||
5.750% due 12/01/34 |
50,000 | 45,688 | ||||||
SS&C Technologies, Inc. |
718,000 | 697,482 | ||||||
Synaptics, Inc. |
200,000 | 172,536 | ||||||
Unisys Corp. |
200,000 | 127,759 | ||||||
Veritas US, Inc./Veritas Bermuda Ltd. |
50,000 | 37,688 | ||||||
Western Digital Corp. |
220,000 | 211,363 | ||||||
Xerox Corp. |
150,000 | 107,606 | ||||||
|
|
|||||||
5,560,966 | ||||||||
|
|
|||||||
Utilities - 2.8% |
| |||||||
Algonquin Power & Utilities Corp. (Canada) |
100,000 | 80,141 | ||||||
AmeriGas Partners LP/AmeriGas Finance Corp. |
||||||||
5.500% due 05/20/25 |
65,000 | 62,424 | ||||||
5.625% due 05/20/24 |
165,000 | 161,901 | ||||||
5.875% due 08/20/26 |
484,000 | 463,612 | ||||||
Calpine Corp. |
||||||||
3.750% due 03/01/31 ~ |
265,000 | 223,772 | ||||||
4.500% due 02/15/28 ~ |
107,000 | 99,384 | ||||||
4.625% due 02/01/29 ~ |
200,000 | 172,958 | ||||||
5.000% due 02/01/31 ~ |
185,000 | 156,806 | ||||||
5.125% due 03/15/28 ~ |
339,000 | 310,833 | ||||||
5.250% due 06/01/26 ~ |
83,000 | 81,013 | ||||||
Clearway Energy Operating LLC |
||||||||
3.750% due 02/15/31 ~ |
300,000 | 259,020 | ||||||
3.750% due 01/15/32 ~ |
175,000 | 145,766 | ||||||
4.750% due 03/15/28 ~ |
174,000 | 166,363 | ||||||
DPL, Inc. |
||||||||
4.125% due 07/01/25 |
150,000 | 143,456 | ||||||
4.350% due 04/15/29 |
150,000 | 133,326 | ||||||
FirstEnergy Corp. |
||||||||
1.600% due 01/15/26 |
100,000 | 91,429 | ||||||
2.050% due 03/01/25 |
100,000 | 94,074 | ||||||
7.375% due 11/15/31 |
450,000 | 505,192 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
233
PACIFIC SELECT FUND
PD HIGH YIELD BOND MARKET PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
NextEra Energy Operating Partners LP |
||||||||
3.875% due 10/15/26 ~ |
$300,000 | $279,706 | ||||||
4.500% due 09/15/27 ~ |
158,000 | 151,037 | ||||||
NRG Energy, Inc. |
||||||||
3.375% due 02/15/29 ~ |
90,000 | 74,621 | ||||||
3.875% due 02/15/32 ~ |
639,000 | 511,897 | ||||||
5.750% due 01/15/28 |
197,000 | 193,493 | ||||||
Pattern Energy Operations LP/Pattern Energy Operations, Inc. |
185,000 | 169,537 | ||||||
PG&E Corp. |
115,000 | 108,710 | ||||||
Pike Corp. |
171,000 | 149,806 | ||||||
Solaris Midstream Holdings LLC |
100,000 | 96,269 | ||||||
TransAlta Corp. (Canada) |
100,000 | 92,184 | ||||||
Vistra Operations Co. LLC |
||||||||
5.000% due 07/31/27 ~ |
74,000 | 70,071 | ||||||
5.625% due 02/15/27 ~ |
250,000 | 242,956 | ||||||
|
|
|||||||
5,491,757 | ||||||||
|
|
|||||||
Total Corporate Bonds & Notes |
188,660,842 | |||||||
|
|
|||||||
Shares |
||||||||
SHORT-TERM INVESTMENT - 1.5% |
||||||||
Money Market Fund - 1.5% |
| |||||||
BlackRock Liquidity Funds: T-Fund, Institutional Shares 4.700% |
2,903,536 | 2,903,536 | ||||||
|
|
|||||||
Total Short-Term Investment |
2,903,536 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 98.5% |
191,567,958 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 1.5% |
2,924,147 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$194,492,105 | |||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $830 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
(b) | An investment with a value of $830 or less than 0.1% of the Funds net assets was in default as of March 31, 2023. |
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$3,580 | $3,580 | $- | $- | |||||||||||||
Corporate Bonds & Notes |
188,660,842 | - | 188,660,842 | - | ||||||||||||||
Short-Term Investment |
2,903,536 | 2,903,536 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$191,567,958 | $2,907,116 | $188,660,842 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
234
PACIFIC SELECT FUND
PD LARGE-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.4% |
| |||||||
Basic Materials - 1.0% |
| |||||||
Albemarle Corp. |
2,531 | $559,452 | ||||||
Axalta Coating Systems Ltd. * |
2,364 | 71,606 | ||||||
CF Industries Holdings, Inc. |
8,220 | 595,868 | ||||||
Chemours Co. |
3,728 | 111,616 | ||||||
Ecolab, Inc. |
9,201 | 1,523,042 | ||||||
FMC Corp. |
1,757 | 214,582 | ||||||
Linde PLC |
4,361 | 1,550,074 | ||||||
Mosaic Co. |
1,504 | 69,004 | ||||||
MP Materials Corp. * |
4,119 | 116,115 | ||||||
PPG Industries, Inc. |
5,254 | 701,829 | ||||||
Royal Gold, Inc. |
219 | 28,406 | ||||||
RPM International, Inc. |
295 | 25,736 | ||||||
Sherwin-Williams Co. |
10,049 | 2,258,714 | ||||||
Southern Copper Corp. (Mexico) |
2,213 | 168,741 | ||||||
Valvoline, Inc. |
7,209 | 251,882 | ||||||
|
|
|||||||
8,246,667 | ||||||||
|
|
|||||||
Communications - 13.5% |
| |||||||
Airbnb, Inc. Class A * |
15,765 | 1,961,166 | ||||||
Alphabet, Inc. Class A * |
219,949 | 22,815,310 | ||||||
Alphabet, Inc. Class C * |
191,273 | 19,892,392 | ||||||
Amazon.com, Inc. * |
373,561 | 38,585,116 | ||||||
Arista Networks, Inc. * |
10,333 | 1,734,497 | ||||||
Booking Holdings, Inc. * |
1,630 | 4,323,428 | ||||||
Cable One, Inc. |
130 | 91,260 | ||||||
CDW Corp. |
5,677 | 1,106,391 | ||||||
Charter Communications, Inc. Class A * |
4,418 | 1,579,921 | ||||||
Corning, Inc. |
2,023 | 71,371 | ||||||
DoorDash, Inc. Class A * |
9,286 | 590,218 | ||||||
eBay, Inc. |
2,741 | 121,618 | ||||||
Etsy, Inc. * |
5,249 | 584,371 | ||||||
Expedia Group, Inc. * |
6,192 | 600,810 | ||||||
FactSet Research Systems, Inc. |
1,593 | 661,238 | ||||||
Gen Digital, Inc. |
8,249 | 141,553 | ||||||
GoDaddy, Inc. Class A * |
927 | 72,046 | ||||||
Liberty Broadband Corp. Class A * |
440 | 36,133 | ||||||
Liberty Broadband Corp. Class C * |
2,327 | 190,116 | ||||||
Liberty Media Corp. - Liberty Formula One Class C * |
1,020 | 76,327 | ||||||
Liberty Media Corp. - Liberty SiriusXM |
947 | 26,601 | ||||||
Liberty Media Corp. - Liberty SiriusXM |
1,953 | 54,664 | ||||||
Lyft, Inc. Class A * |
11,133 | 103,203 | ||||||
Match Group, Inc. * |
10,964 | 420,908 | ||||||
Meta Platforms, Inc. Class A * |
19,920 | 4,221,845 | ||||||
Netflix, Inc. * |
8,298 | 2,866,793 | ||||||
Nexstar Media Group, Inc. |
99 | 17,093 | ||||||
Okta, Inc. * |
858 | 73,994 | ||||||
Opendoor Technologies, Inc. * |
8,920 | 15,699 | ||||||
Palo Alto Networks, Inc. * |
12,493 | 2,495,352 | ||||||
Pinterest, Inc. Class A * |
5,501 | 150,012 | ||||||
Roku, Inc. * |
1,539 | 101,297 | ||||||
Spotify Technology SA * |
5,877 | 785,285 | ||||||
Trade Desk, Inc. Class A * |
18,426 | 1,122,328 | ||||||
TripAdvisor, Inc. * |
376 | 7,467 | ||||||
Uber Technologies, Inc. * |
69,838 | 2,213,865 | ||||||
Ubiquiti, Inc. |
78 | 21,192 | ||||||
VeriSign, Inc. * |
466 | 98,480 | ||||||
Walt Disney Co. * |
5,131 | 513,767 | ||||||
Warner Bros Discovery, Inc. * |
72,709 | 1,097,906 | ||||||
Wayfair, Inc. Class A * |
1,781 | 61,160 | ||||||
Wix.com Ltd. * (Israel) |
1,800 | 179,640 | ||||||
World Wrestling Entertainment, Inc. Class A |
1,807 | 164,907 | ||||||
Zillow Group, Inc. Class C * |
454 | 20,189 | ||||||
|
|
|||||||
112,068,929 | ||||||||
|
|
Shares |
Value |
|||||||
Consumer, Cyclical - 10.8% |
|
|||||||
Advance Auto Parts, Inc. |
219 | $26,633 | ||||||
Allison Transmission Holdings, Inc. |
3,058 | 138,344 | ||||||
Aptiv PLC * |
2,849 | 319,629 | ||||||
AutoZone, Inc. * |
715 | 1,757,577 | ||||||
Best Buy Co., Inc. |
2,598 | 203,345 | ||||||
BJs Wholesale Club Holdings, Inc. * |
3,535 | 268,907 | ||||||
Brunswick Corp. |
640 | 52,480 | ||||||
Burlington Stores, Inc. * |
2,554 | 516,163 | ||||||
Caesars Entertainment, Inc. * |
5,908 | 288,369 | ||||||
CarMax, Inc. * |
567 | 36,447 | ||||||
Carvana Co. * |
5,288 | 51,770 | ||||||
Chipotle Mexican Grill, Inc. * |
1,154 | 1,971,367 | ||||||
Choice Hotels International, Inc. |
1,350 | 158,206 | ||||||
Churchill Downs, Inc. |
1,498 | 385,061 | ||||||
Copart, Inc. * |
17,898 | 1,346,109 | ||||||
Core & Main, Inc. Class A * |
899 | 20,767 | ||||||
Costco Wholesale Corp. |
18,608 | 9,245,757 | ||||||
Darden Restaurants, Inc. |
3,752 | 582,160 | ||||||
Deckers Outdoor Corp. * |
976 | 438,761 | ||||||
Delta Air Lines, Inc. * |
26,878 | 938,580 | ||||||
Dollar General Corp. |
9,470 | 1,993,056 | ||||||
Dollar Tree, Inc. * |
2,718 | 390,169 | ||||||
Dominos Pizza, Inc. |
1,083 | 357,249 | ||||||
DR Horton, Inc. |
6,942 | 678,164 | ||||||
DraftKings, Inc. Class A * |
14,856 | 287,612 | ||||||
Fastenal Co. |
24,172 | 1,303,838 | ||||||
Five Below, Inc. * |
2,291 | 471,877 | ||||||
Floor & Decor Holdings, Inc. Class A * |
4,333 | 425,587 | ||||||
Freshpet, Inc. * |
1,154 | 76,383 | ||||||
Genuine Parts Co. |
511 | 85,495 | ||||||
Hilton Worldwide Holdings, Inc. |
7,968 | 1,122,452 | ||||||
Home Depot, Inc. |
24,842 | 7,331,371 | ||||||
Las Vegas Sands Corp. * |
5,180 | 297,591 | ||||||
Leslies, Inc. * |
6,503 | 71,598 | ||||||
Live Nation Entertainment, Inc. * |
3,273 | 229,110 | ||||||
Lowes Cos., Inc. |
21,943 | 4,387,942 | ||||||
Lucid Group, Inc. * |
22,664 | 182,219 | ||||||
Lululemon Athletica, Inc. * |
4,690 | 1,708,051 | ||||||
Madison Square Garden Sports Corp. |
402 | 78,330 | ||||||
Marriott International, Inc. Class A |
11,150 | 1,851,346 | ||||||
Mattel, Inc. * |
7,692 | 141,610 | ||||||
McDonalds Corp. |
7,548 | 2,110,496 | ||||||
NIKE, Inc. Class B |
50,560 | 6,200,678 | ||||||
Nordstrom, Inc. |
4,322 | 70,319 | ||||||
Norwegian Cruise Line Holdings Ltd. * |
2,090 | 28,110 | ||||||
NVR, Inc. * |
88 | 490,353 | ||||||
OReilly Automotive, Inc. * |
1,062 | 901,617 | ||||||
Planet Fitness, Inc. Class A * |
2,582 | 200,544 | ||||||
Polaris, Inc. |
1,712 | 189,399 | ||||||
Pool Corp. |
1,597 | 546,877 | ||||||
PulteGroup, Inc. |
3,721 | 216,860 | ||||||
RH * |
285 | 69,412 | ||||||
Ross Stores, Inc. |
6,070 | 644,209 | ||||||
Scotts Miracle-Gro Co. |
627 | 43,727 | ||||||
SiteOne Landscape Supply, Inc. * |
1,108 | 151,652 | ||||||
Six Flags Entertainment Corp. * |
1,629 | 43,511 | ||||||
Skechers USA, Inc. Class A * |
592 | 28,132 | ||||||
Starbucks Corp. |
17,350 | 1,806,655 | ||||||
Tapestry, Inc. |
1,109 | 47,809 | ||||||
Target Corp. |
10,724 | 1,776,216 | ||||||
Tesla, Inc. * |
108,623 | 22,534,928 | ||||||
TJX Cos., Inc. |
48,779 | 3,822,322 | ||||||
Toll Brothers, Inc. |
2,218 | 133,147 | ||||||
Tractor Supply Co. |
4,637 | 1,089,880 | ||||||
Travel & Leisure Co. |
2,615 | 102,508 | ||||||
Ulta Beauty, Inc. * |
2,116 | 1,154,638 | ||||||
Vail Resorts, Inc. |
1,597 | 373,187 | ||||||
Victorias Secret, Inc. * |
2,740 | 93,571 | ||||||
Watsco, Inc. |
714 | 227,166 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
235
PACIFIC SELECT FUND
PD LARGE-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Wendys Co. |
7,159 | $ 155,923 | ||||||
WESCO International, Inc. |
910 | 140,631 | ||||||
Williams-Sonoma, Inc. |
2,200 | 267,652 | ||||||
WW Grainger, Inc. |
1,892 | 1,303,229 | ||||||
Wyndham Hotels & Resorts, Inc. |
2,529 | 171,593 | ||||||
Wynn Resorts Ltd. * |
608 | 68,041 | ||||||
YETI Holdings, Inc. * |
3,374 | 134,960 | ||||||
Yum! Brands, Inc. |
1,313 | 173,421 | ||||||
|
|
|||||||
89,730,855 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 17.3% |
| |||||||
10X Genomics, Inc. Class A * |
3,361 | 187,510 | ||||||
Abbott Laboratories |
9,513 | 963,286 | ||||||
AbbVie, Inc. |
74,279 | 11,837,844 | ||||||
agilon health, Inc. * |
7,413 | 176,059 | ||||||
Align Technology, Inc. * |
2,471 | 825,660 | ||||||
Alnylam Pharmaceuticals, Inc. * |
5,161 | 1,033,852 | ||||||
AmerisourceBergen Corp. |
6,846 | 1,096,113 | ||||||
Amgen, Inc. |
18,852 | 4,557,471 | ||||||
Automatic Data Processing, Inc. |
16,110 | 3,586,569 | ||||||
Avantor, Inc. * |
23,786 | 502,836 | ||||||
Avery Dennison Corp. |
2,102 | 376,111 | ||||||
Baxter International, Inc. |
3,567 | 144,678 | ||||||
Bio-Techne Corp. |
6,532 | 484,609 | ||||||
Booz Allen Hamilton Holding Corp. |
5,511 | 510,815 | ||||||
Boston Beer Co., Inc. Class A * |
356 | 117,017 | ||||||
Bright Horizons Family Solutions, Inc. * |
756 | 58,204 | ||||||
Brown-Forman Corp. Class A |
1,192 | 77,707 | ||||||
Brown-Forman Corp. Class B |
4,531 | 291,207 | ||||||
Bruker Corp. |
4,501 | 354,859 | ||||||
Catalent, Inc. * |
2,472 | 162,435 | ||||||
Certara, Inc. * |
2,623 | 63,241 | ||||||
Charles River Laboratories International, Inc. * |
1,975 | 398,595 | ||||||
Chemed Corp. |
203 | 109,163 | ||||||
Church & Dwight Co., Inc. |
4,618 | 408,277 | ||||||
Cigna Group |
1,958 | 500,328 | ||||||
Cintas Corp. |
3,392 | 1,569,411 | ||||||
Clorox Co. |
4,289 | 678,691 | ||||||
Coca-Cola Co. |
123,077 | 7,634,466 | ||||||
Colgate-Palmolive Co. |
21,397 | 1,607,985 | ||||||
CoStar Group, Inc. * |
2,422 | 166,755 | ||||||
Danaher Corp. |
1,850 | 466,274 | ||||||
Darling Ingredients, Inc. * |
213 | 12,439 | ||||||
DaVita, Inc. * |
2,335 | 189,392 | ||||||
Dexcom, Inc. * |
16,185 | 1,880,373 | ||||||
Edwards Lifesciences Corp. * |
25,954 | 2,147,174 | ||||||
Elevance Health, Inc. |
3,080 | 1,416,215 | ||||||
Eli Lilly & Co. |
28,827 | 9,899,768 | ||||||
Equifax, Inc. |
2,552 | 517,648 | ||||||
Estee Lauder Cos., Inc. Class A |
9,643 | 2,376,614 | ||||||
Euronet Worldwide, Inc. * |
1,438 | 160,912 | ||||||
Exact Sciences Corp. * |
1,437 | 97,443 | ||||||
Exelixis, Inc. * |
11,000 | 213,510 | ||||||
FleetCor Technologies, Inc. * |
3,014 | 635,502 | ||||||
FTI Consulting, Inc. * |
643 | 126,896 | ||||||
Gartner, Inc. * |
3,223 | 1,049,957 | ||||||
GE HealthCare Technologies, Inc. * |
929 | 76,206 | ||||||
Ginkgo Bioworks Holdings, Inc. * |
9,821 | 13,062 | ||||||
Globus Medical, Inc. Class A * |
5 | 283 | ||||||
Grocery Outlet Holding Corp. * |
577 | 16,306 | ||||||
Guardant Health, Inc. * |
3,971 | 93,080 | ||||||
GXO Logistics, Inc. * |
523 | 26,391 | ||||||
H&R Block, Inc. |
5,276 | 185,979 | ||||||
HCA Healthcare, Inc. |
531 | 140,014 | ||||||
Hershey Co. |
5,314 | 1,351,935 | ||||||
Horizon Therapeutics PLC * |
8,644 | 943,406 | ||||||
Humana, Inc. |
3,751 | 1,820,960 | ||||||
ICU Medical, Inc. * |
170 | 28,043 | ||||||
IDEXX Laboratories, Inc. * |
3,452 | 1,726,276 | ||||||
Incyte Corp. * |
6,628 | 479,006 |
Shares |
Value |
|||||||
Insulet Corp. * |
2,890 | $ 921,794 | ||||||
Intuitive Surgical, Inc. * |
13,636 | 3,483,589 | ||||||
Ionis Pharmaceuticals, Inc. * |
5,311 | 189,815 | ||||||
IQVIA Holdings, Inc. * |
7,790 | 1,549,353 | ||||||
Kellogg Co. |
5,866 | 392,787 | ||||||
Kimberly-Clark Corp. |
8,383 | 1,125,166 | ||||||
Lamb Weston Holdings, Inc. |
6,051 | 632,451 | ||||||
Maravai LifeSciences Holdings, Inc. Class A * |
5,092 | 71,339 | ||||||
MarketAxess Holdings, Inc. |
1,559 | 610,021 | ||||||
Masimo Corp. * |
1,524 | 281,239 | ||||||
McKesson Corp. |
1,128 | 401,624 | ||||||
Merck & Co., Inc. |
44,548 | 4,739,462 | ||||||
Mister Car Wash, Inc. * |
2,422 | 20,878 | ||||||
Moderna, Inc. * |
781 | 119,946 | ||||||
Molina Healthcare, Inc. * |
1,866 | 499,136 | ||||||
Monster Beverage Corp. * |
28,454 | 1,536,801 | ||||||
Moodys Corp. |
6,332 | 1,937,719 | ||||||
Morningstar, Inc. |
946 | 192,066 | ||||||
Natera, Inc. * |
3,809 | 211,476 | ||||||
Neurocrine Biosciences, Inc. * |
4,021 | 407,006 | ||||||
Novavax, Inc. * |
3,498 | 24,241 | ||||||
Novocure Ltd. * |
4,337 | 260,827 | ||||||
Olaplex Holdings, Inc. * |
5,642 | 24,091 | ||||||
Paylocity Holding Corp. * |
1,686 | 335,143 | ||||||
PayPal Holdings, Inc. * |
14,753 | 1,120,343 | ||||||
Penumbra, Inc. * |
1,497 | 417,199 | ||||||
PepsiCo, Inc. |
49,097 | 8,950,383 | ||||||
Performance Food Group Co. * |
2,133 | 128,705 | ||||||
Pilgrims Pride Corp. * |
1,027 | 23,806 | ||||||
Procter & Gamble Co. |
42,263 | 6,284,085 | ||||||
Quanta Services, Inc. |
3,262 | 543,580 | ||||||
Regeneron Pharmaceuticals, Inc. * |
636 | 522,582 | ||||||
Repligen Corp. * |
1,653 | 278,299 | ||||||
ResMed, Inc. |
6,067 | 1,328,612 | ||||||
Ritchie Bros Auctioneers, Inc. (Canada) |
2,342 | 131,831 | ||||||
Robert Half International, Inc. |
3,913 | 315,270 | ||||||
Rollins, Inc. |
9,007 | 338,033 | ||||||
Sarepta Therapeutics, Inc. * |
3,533 | 486,953 | ||||||
Seagen, Inc. * |
5,708 | 1,155,699 | ||||||
Shift4 Payments, Inc. Class A * |
2,119 | 160,620 | ||||||
Sotera Health Co. * |
4,611 | 82,583 | ||||||
Stryker Corp. |
7,900 | 2,255,213 | ||||||
Syneos Health, Inc. * |
750 | 26,715 | ||||||
Sysco Corp. |
21,334 | 1,647,625 | ||||||
Tandem Diabetes Care, Inc. * |
2,700 | 109,647 | ||||||
Teladoc Health, Inc. * |
761 | 19,710 | ||||||
Thermo Fisher Scientific, Inc. |
2,006 | 1,156,198 | ||||||
Toast, Inc. Class A * |
10,200 | 181,050 | ||||||
TransUnion |
5,922 | 367,993 | ||||||
Ultragenyx Pharmaceutical, Inc. * |
2,248 | 90,145 | ||||||
United Rentals, Inc. |
1,346 | 532,693 | ||||||
UnitedHealth Group, Inc. |
35,774 | 16,906,435 | ||||||
Verisk Analytics, Inc. |
6,522 | 1,251,311 | ||||||
Vertex Pharmaceuticals, Inc. * |
10,145 | 3,196,385 | ||||||
Waters Corp. * |
2,480 | 767,882 | ||||||
West Pharmaceutical Services, Inc. |
3,109 | 1,077,175 | ||||||
WEX, Inc. * |
1,257 | 231,150 | ||||||
WillScot Mobile Mini Holdings Corp. * |
4,542 | 212,929 | ||||||
Zoetis, Inc. |
19,788 | 3,293,515 | ||||||
|
|
|||||||
144,133,142 | ||||||||
|
|
|||||||
Energy - 1.5% |
| |||||||
Antero Resources Corp. * |
7,641 | 176,431 | ||||||
Cheniere Energy, Inc. |
6,010 | 947,176 | ||||||
Coterra Energy, Inc. |
4,901 | 120,270 | ||||||
Devon Energy Corp. |
13,356 | 675,947 | ||||||
Diamondback Energy, Inc. |
4,293 | 580,285 | ||||||
Enphase Energy, Inc. * |
5,496 | 1,155,699 | ||||||
Enviva, Inc. |
1,390 | 40,143 | ||||||
EOG Resources, Inc. |
17,965 | 2,059,328 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
236
PACIFIC SELECT FUND
PD LARGE-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Halliburton Co. |
17,091 | $ 540,759 | ||||||
Hess Corp. |
9,259 | 1,225,336 | ||||||
New Fortress Energy, Inc. |
2,391 | 70,367 | ||||||
Occidental Petroleum Corp. |
27,546 | 1,719,697 | ||||||
ONEOK, Inc. |
2,281 | 144,935 | ||||||
Ovintiv, Inc. |
7,336 | 264,683 | ||||||
PDC Energy, Inc. |
1,906 | 122,327 | ||||||
Pioneer Natural Resources Co. |
5,492 | 1,121,686 | ||||||
Plug Power, Inc. * |
11,720 | 137,358 | ||||||
Range Resources Corp. |
6,525 | 172,717 | ||||||
Southwestern Energy Co. * |
3,587 | 17,935 | ||||||
Targa Resources Corp. |
9,486 | 692,004 | ||||||
Texas Pacific Land Corp. |
240 | 408,245 | ||||||
|
|
|||||||
12,393,328 | ||||||||
|
|
|||||||
Financial - 7.1% |
| |||||||
American Express Co. |
1,575 | 259,796 | ||||||
American Tower Corp. REIT |
14,956 | 3,056,109 | ||||||
Ameriprise Financial, Inc. |
2,818 | 863,717 | ||||||
Aon PLC Class A |
8,110 | 2,557,002 | ||||||
Apartment Income REIT Corp. REIT |
594 | 21,271 | ||||||
Apollo Global Management, Inc. |
15,473 | 977,275 | ||||||
Arch Capital Group Ltd. * |
4,833 | 328,016 | ||||||
Ares Management Corp. Class A |
6,439 | 537,270 | ||||||
Arthur J Gallagher & Co. |
946 | 180,979 | ||||||
Assurant, Inc. |
164 | 19,691 | ||||||
Blackstone, Inc. |
29,814 | 2,618,862 | ||||||
Blue Owl Capital, Inc. |
17,710 | 196,227 | ||||||
Brown & Brown, Inc. |
808 | 46,395 | ||||||
Camden Property Trust REIT |
395 | 41,412 | ||||||
CBRE Group, Inc. Class A * |
6,459 | 470,280 | ||||||
Charles Schwab Corp. |
35,454 | 1,857,080 | ||||||
Crown Castle, Inc. REIT |
18,132 | 2,426,787 | ||||||
Equinix, Inc. REIT |
2,926 | 2,109,763 | ||||||
Equity LifeStyle Properties, Inc. REIT |
4,570 | 306,784 | ||||||
Erie Indemnity Co. Class A |
779 | 180,463 | ||||||
Everest Re Group Ltd. |
477 | 170,776 | ||||||
Extra Space Storage, Inc. REIT |
716 | 116,658 | ||||||
First Citizens BancShares, Inc. Class A |
94 | 91,471 | ||||||
Iron Mountain, Inc. REIT |
9,077 | 480,264 | ||||||
Lamar Advertising Co. Class A REIT |
3,194 | 319,049 | ||||||
Lincoln National Corp. |
1,760 | 39,547 | ||||||
LPL Financial Holdings, Inc. |
3,342 | 676,421 | ||||||
Markel Corp. * |
120 | 153,289 | ||||||
Marsh & McLennan Cos., Inc. |
18,589 | 3,095,998 | ||||||
Mastercard, Inc. Class A |
35,763 | 12,996,632 | ||||||
Progressive Corp. |
21,345 | 3,053,616 | ||||||
Public Storage REIT |
5,213 | 1,575,056 | ||||||
Raymond James Financial, Inc. |
709 | 66,128 | ||||||
RenaissanceRe Holdings Ltd. (Bermuda) |
957 | 191,725 | ||||||
Rocket Cos., Inc. Class A * |
2,998 | 27,162 | ||||||
Ryan Specialty Holdings, Inc. * |
3,117 | 125,428 | ||||||
SBA Communications Corp. REIT |
1,021 | 266,552 | ||||||
Simon Property Group, Inc. REIT |
6,644 | 743,929 | ||||||
Tradeweb Markets, Inc. Class A |
2,761 | 218,174 | ||||||
Upstart Holdings, Inc. * |
636 | 10,106 | ||||||
UWM Holdings Corp. |
3,214 | 15,781 | ||||||
Visa, Inc. Class A |
68,319 | 15,403,202 | ||||||
Western Alliance Bancorp |
2,938 | 104,417 | ||||||
Western Union Co. |
3,917 | 43,675 | ||||||
|
|
|||||||
59,040,235 | ||||||||
|
|
|||||||
Industrial - 6.6% |
| |||||||
Advanced Drainage Systems, Inc. |
2,614 | 220,125 | ||||||
AECOM |
376 | 31,704 | ||||||
AGCO Corp. |
414 | 55,973 | ||||||
Agilent Technologies, Inc. |
11,155 | 1,543,183 | ||||||
Allegion PLC |
2,914 | 311,011 | ||||||
Amphenol Corp. Class A |
18,543 | 1,515,334 | ||||||
AO Smith Corp. |
1,403 | 97,017 |
Shares |
Value |
|||||||
Ardagh Metal Packaging SA |
3,859 | $ 15,745 | ||||||
Armstrong World Industries, Inc. |
1,117 | 79,575 | ||||||
Arrow Electronics, Inc. * |
19 | 2,373 | ||||||
Axon Enterprise, Inc. * |
2,195 | 493,546 | ||||||
Ball Corp. |
5,153 | 283,982 | ||||||
Berry Global Group, Inc. |
2,444 | 143,952 | ||||||
Boeing Co. * |
7,242 | 1,538,418 | ||||||
BWX Technologies, Inc. |
1,616 | 101,873 | ||||||
Carlisle Cos., Inc. |
1,820 | 411,447 | ||||||
Caterpillar, Inc. |
19,049 | 4,359,173 | ||||||
CH Robinson Worldwide, Inc. |
1,295 | 128,684 | ||||||
ChargePoint Holdings, Inc. * |
11,604 | 121,494 | ||||||
Cognex Corp. |
6,791 | 336,494 | ||||||
Coherent Corp. * |
925 | 35,224 | ||||||
Crown Holdings, Inc. |
4,257 | 352,096 | ||||||
CSX Corp. |
22,243 | 665,955 | ||||||
Deere & Co. |
11,411 | 4,711,374 | ||||||
Donaldson Co., Inc. |
669 | 43,712 | ||||||
Eagle Materials, Inc. |
1,246 | 182,851 | ||||||
Emerson Electric Co. |
7,614 | 663,484 | ||||||
Expeditors International of Washington, Inc. |
2,058 | 226,627 | ||||||
Fortune Brands Innovations, Inc. |
1,635 | 96,024 | ||||||
Generac Holdings, Inc. * |
2,615 | 282,446 | ||||||
General Electric Co. |
2,530 | 241,868 | ||||||
Graco, Inc. |
4,833 | 352,857 | ||||||
Graphic Packaging Holding Co. |
9,721 | 247,788 | ||||||
HEICO Corp. |
1,768 | 302,399 | ||||||
HEICO Corp. Class A |
3,105 | 421,970 | ||||||
Honeywell International, Inc. |
8,327 | 1,591,456 | ||||||
Howmet Aerospace, Inc. |
1,760 | 74,571 | ||||||
Huntington Ingalls Industries, Inc. |
393 | 81,359 | ||||||
IDEX Corp. |
614 | 141,852 | ||||||
Illinois Tool Works, Inc. |
11,545 | 2,810,630 | ||||||
Jabil, Inc. |
4,457 | 392,929 | ||||||
JB Hunt Transport Services, Inc. |
3,083 | 540,943 | ||||||
Keysight Technologies, Inc. * |
6,969 | 1,125,354 | ||||||
Landstar System, Inc. |
1,334 | 239,133 | ||||||
Lincoln Electric Holdings, Inc. |
2,352 | 397,723 | ||||||
Lockheed Martin Corp. |
9,570 | 4,524,026 | ||||||
Louisiana-Pacific Corp. |
466 | 25,262 | ||||||
Martin Marietta Materials, Inc. |
248 | 88,055 | ||||||
Masco Corp. |
557 | 27,694 | ||||||
Masterbrand, Inc. * |
2,045 | 16,442 | ||||||
Mettler-Toledo International, Inc. * |
923 | 1,412,384 | ||||||
Middleby Corp. * |
170 | 24,924 | ||||||
MSA Safety, Inc. |
618 | 82,503 | ||||||
National Instruments Corp. |
772 | 40,461 | ||||||
Nordson Corp. |
615 | 136,690 | ||||||
Northrop Grumman Corp. |
709 | 327,360 | ||||||
Old Dominion Freight Line, Inc. |
4,171 | 1,421,644 | ||||||
Otis Worldwide Corp. |
2,060 | 173,864 | ||||||
Parker-Hannifin Corp. |
1,220 | 410,054 | ||||||
Republic Services, Inc. |
599 | 80,997 | ||||||
Rockwell Automation, Inc. |
3,256 | 955,473 | ||||||
RXO, Inc. * |
353 | 6,933 | ||||||
Sealed Air Corp. |
6,119 | 280,923 | ||||||
Spirit AeroSystems Holdings, Inc. Class A |
4,496 | 155,247 | ||||||
Tetra Tech, Inc. |
829 | 121,788 | ||||||
TopBuild Corp. * |
1,130 | 235,198 | ||||||
Toro Co. |
4,381 | 486,992 | ||||||
Trane Technologies PLC |
5,606 | 1,031,392 | ||||||
TransDigm Group, Inc. |
835 | 615,437 | ||||||
Trex Co., Inc. * |
4,624 | 225,050 | ||||||
Union Pacific Corp. |
25,829 | 5,198,345 | ||||||
United Parcel Service, Inc. Class B |
27,559 | 5,346,170 | ||||||
Universal Display Corp. |
1,823 | 282,802 | ||||||
Valmont Industries, Inc. |
133 | 42,464 | ||||||
Vertiv Holdings Co. |
2,178 | 31,167 | ||||||
Vontier Corp. |
4,244 | 116,031 | ||||||
Vulcan Materials Co. |
2,713 | 465,442 | ||||||
Waste Management, Inc. |
16,153 | 2,635,685 | ||||||
XPO, Inc. * |
353 | 11,261 | ||||||
Xylem, Inc. |
1,139 | 119,253 | ||||||
|
|
|||||||
55,169,141 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
237
PACIFIC SELECT FUND
PD LARGE-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Technology - 40.5% |
|
|||||||
Accenture PLC Class A |
26,631 | $7,611,406 | ||||||
Adobe, Inc. * |
19,216 | 7,405,270 | ||||||
Advanced Micro Devices, Inc. * |
53,492 | 5,242,751 | ||||||
Allegro MicroSystems, Inc. * (Japan) |
2,782 | 133,508 | ||||||
Alteryx, Inc. Class A * |
2,321 | 136,568 | ||||||
Analog Devices, Inc. |
4,271 | 842,327 | ||||||
ANSYS, Inc. * |
1,925 | 640,640 | ||||||
Apple, Inc. |
631,668 | 104,162,053 | ||||||
Applied Materials, Inc. |
35,366 | 4,344,006 | ||||||
AppLovin Corp. Class A * |
8,532 | 134,379 | ||||||
Aspen Technology, Inc. * |
1,132 | 259,081 | ||||||
Atlassian Corp. Class A * |
6,110 | 1,045,849 | ||||||
Autodesk, Inc. * |
9,142 | 1,902,999 | ||||||
Bentley Systems, Inc. Class B |
7,078 | 304,283 | ||||||
Black Knight, Inc. * |
653 | 37,587 | ||||||
Broadcom, Inc. |
16,600 | 10,649,564 | ||||||
Broadridge Financial Solutions, Inc. |
4,448 | 651,943 | ||||||
Cadence Design Systems, Inc. * |
11,456 | 2,406,791 | ||||||
CCC Intelligent Solutions Holdings, Inc. * |
2,979 | 26,722 | ||||||
Ceridian HCM Holding, Inc. * |
1,180 | 86,400 | ||||||
Cloudflare, Inc. Class A * |
11,874 | 732,151 | ||||||
Confluent, Inc. Class A * |
5,639 | 135,731 | ||||||
Crowdstrike Holdings, Inc. Class A * |
9,044 | 1,241,379 | ||||||
Datadog, Inc. Class A * |
11,148 | 810,014 | ||||||
Definitive Healthcare Corp. * |
1,131 | 11,683 | ||||||
Dell Technologies, Inc. Class C |
1,244 | 50,021 | ||||||
DocuSign, Inc. * |
8,294 | 483,540 | ||||||
DoubleVerify Holdings, Inc. * |
2,703 | 81,495 | ||||||
Doximity, Inc. Class A * |
2,096 | 67,868 | ||||||
Dropbox, Inc. Class A * |
10,495 | 226,902 | ||||||
Dynatrace, Inc. * |
9,285 | 392,755 | ||||||
Elastic NV * |
3,248 | 188,059 | ||||||
Electronic Arts, Inc. |
789 | 95,035 | ||||||
Entegris, Inc. |
6,231 | 511,004 | ||||||
EPAM Systems, Inc. * |
2,304 | 688,896 | ||||||
Fair Isaac Corp. * |
1,019 | 716,041 | ||||||
Fiserv, Inc. * |
2,250 | 254,317 | ||||||
Five9, Inc. * |
2,939 | 212,460 | ||||||
Fortinet, Inc. * |
27,097 | 1,800,867 | ||||||
Genpact Ltd. |
3,800 | 175,636 | ||||||
GLOBALFOUNDRIES, Inc. * |
686 | 49,515 | ||||||
Globant SA * |
1,709 | 280,293 | ||||||
HP, Inc. |
18,939 | 555,860 | ||||||
HubSpot, Inc. * |
1,944 | 833,490 | ||||||
International Business Machines Corp. |
25,265 | 3,311,989 | ||||||
Intuit, Inc. |
11,582 | 5,163,603 | ||||||
Jack Henry & Associates, Inc. |
3,047 | 459,244 | ||||||
Jamf Holding Corp. * |
2,279 | 44,258 | ||||||
KBR, Inc. |
3,636 | 200,162 | ||||||
KLA Corp. |
5,819 | 2,322,770 | ||||||
Lam Research Corp. |
5,664 | 3,002,600 | ||||||
Lattice Semiconductor Corp. * |
5,697 | 544,063 | ||||||
Manhattan Associates, Inc. * |
1,607 | 248,844 | ||||||
Microchip Technology, Inc. |
19,089 | 1,599,276 | ||||||
Micron Technology, Inc. |
8,624 | 520,372 | ||||||
Microsoft Corp. |
314,480 | 90,664,584 | ||||||
MongoDB, Inc. * |
2,784 | 649,006 | ||||||
Monolithic Power Systems, Inc. |
1,925 | 963,539 | ||||||
MSCI, Inc. |
2,457 | 1,375,158 | ||||||
nCino, Inc. * |
506 | 12,539 | ||||||
NCR Corp. * |
300 | 7,077 | ||||||
NetApp, Inc. |
9,124 | 582,567 | ||||||
New Relic, Inc. * |
2,116 | 159,314 | ||||||
Nutanix, Inc. Class A * |
4,829 | 125,506 | ||||||
NVIDIA Corp. |
99,436 | 27,620,338 |
Shares |
Value |
|||||||
ON Semiconductor Corp. * |
11,368 | $ 935,814 | ||||||
Oracle Corp. |
44,135 | 4,101,024 | ||||||
Palantir Technologies, Inc. Class A * |
77,239 | 652,670 | ||||||
Paychex, Inc. |
13,546 | 1,552,236 | ||||||
Paycom Software, Inc. * |
2,149 | 653,317 | ||||||
Pegasystems, Inc. |
1,787 | 86,634 | ||||||
Playtika Holding Corp. * |
2,535 | 28,544 | ||||||
Procore Technologies, Inc. * |
2,112 | 132,275 | ||||||
PTC, Inc. * |
4,470 | 573,188 | ||||||
Pure Storage, Inc. Class A * |
11,972 | 305,406 | ||||||
QUALCOMM, Inc. |
47,093 | 6,008,125 | ||||||
RingCentral, Inc. Class A * |
3,792 | 116,301 | ||||||
ROBLOX Corp. Class A * |
18,784 | 844,904 | ||||||
Salesforce, Inc. * |
8,656 | 1,729,296 | ||||||
SentinelOne, Inc. Class A * |
5,472 | 89,522 | ||||||
ServiceNow, Inc. * |
8,522 | 3,960,344 | ||||||
Smartsheet, Inc. Class A * |
5,337 | 255,109 | ||||||
Snowflake, Inc. Class A * |
12,190 | 1,880,795 | ||||||
Splunk, Inc. * |
6,832 | 655,052 | ||||||
Synopsys, Inc. * |
6,403 | 2,473,159 | ||||||
Take-Two Interactive Software, Inc. * |
5,746 | 685,498 | ||||||
Teradata Corp. * |
2,565 | 103,318 | ||||||
Teradyne, Inc. |
5,964 | 641,190 | ||||||
Texas Instruments, Inc. |
26,125 | 4,859,511 | ||||||
Thoughtworks Holding, Inc. * |
3,865 | 28,446 | ||||||
Twilio, Inc. Class A * |
2,580 | 171,905 | ||||||
Tyler Technologies, Inc. * |
1,508 | 534,797 | ||||||
UiPath, Inc. Class A * |
1,558 | 27,358 | ||||||
Unity Software, Inc. * |
6,670 | 216,375 | ||||||
Veeva Systems, Inc. Class A * |
5,851 | 1,075,355 | ||||||
VMware, Inc. Class A * |
4,369 | 545,470 | ||||||
Workday, Inc. Class A * |
8,388 | 1,732,458 | ||||||
Zebra Technologies Corp. Class A * |
888 | 282,384 | ||||||
Zoom Video Communications, Inc. Class A * |
5,199 | 383,894 | ||||||
ZoomInfo Technologies, Inc. * |
11,539 | 285,129 | ||||||
Zscaler, Inc. * |
3,543 | 413,929 | ||||||
|
|
|||||||
337,216,680 | ||||||||
|
|
|||||||
Utilities - 0.1% |
| |||||||
AES Corp. |
5,453 | 131,308 | ||||||
National Fuel Gas Co. |
357 | 20,613 | ||||||
Vistra Corp. |
9,516 | 228,384 | ||||||
|
|
|||||||
380,305 | ||||||||
|
|
|||||||
Total Common Stocks |
818,379,282 | |||||||
|
|
|||||||
EXCHANGE-TRADED FUND - 1.0% |
| |||||||
iShares Russell 1000 Growth |
35,029 | 8,558,636 | ||||||
|
|
|||||||
Total Exchange-Traded Fund |
|
8,558,636 |
| |||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
238
PACIFIC SELECT FUND
PD LARGE-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 0.6% |
| |||||||
Repurchase Agreement - 0.6% |
| |||||||
Fixed Income Clearing Corp. |
$4,888,198 | $4,888,198 | ||||||
|
|
|||||||
Total Short-Term Investment |
4,888,198 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
831,826,116 | |||||||
|
|
|||||||
DERIVATIVES - 0.0% |
364,915 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(229,258 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$831,961,773 | |||||||
|
|
Notes to Schedule of Investments
(a) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||||
Nasdaq 100 E-Mini Index |
06/23 | 12 | $2,939,017 | $3,192,420 | $253,403 | |||||||||||||||
S&P 500 E-Mini Index |
06/23 | 11 | 2,164,251 | 2,275,763 | 111,512 | |||||||||||||||
|
|
|||||||||||||||||||
Total Futures Contracts |
$364,915 | |||||||||||||||||||
|
|
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
$818,379,282 | $818,379,282 | $- | $- | |||||||||||||
Exchange-Traded Fund |
8,558,636 | 8,558,636 | - | - | ||||||||||||||
Short-Term Investment |
4,888,198 | - | 4,888,198 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
364,915 | 364,915 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$832,191,031 | $827,302,833 | $4,888,198 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
239
PACIFIC SELECT FUND
PD LARGE-CAP VALUE INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.3% |
| |||||||
Basic Materials - 3.5% |
| |||||||
Air Products & Chemicals, Inc. |
11,633 | $3,341,114 | ||||||
Albemarle Corp. |
2,949 | 651,847 | ||||||
Alcoa Corp. |
9,183 | 390,829 | ||||||
Ashland, Inc. |
2,749 | 282,350 | ||||||
Axalta Coating Systems Ltd. * |
8,682 | 262,978 | ||||||
Celanese Corp. |
5,626 | 612,615 | ||||||
Chemours Co. |
2,836 | 84,910 | ||||||
Cleveland-Cliffs, Inc. * |
26,545 | 486,570 | ||||||
Dow, Inc. |
37,153 | 2,036,727 | ||||||
DuPont de Nemours, Inc. |
24,259 | 1,741,068 | ||||||
Eastman Chemical Co. |
6,213 | 524,004 | ||||||
Ecolab, Inc. |
1,559 | 258,061 | ||||||
Element Solutions, Inc. |
11,900 | 229,789 | ||||||
FMC Corp. |
4,306 | 525,892 | ||||||
Freeport-McMoRan, Inc. |
74,879 | 3,063,300 | ||||||
Huntsman Corp. |
9,469 | 259,072 | ||||||
International Flavors & Fragrances, Inc. |
13,576 | 1,248,449 | ||||||
International Paper Co. |
18,451 | 665,343 | ||||||
Linde PLC |
20,509 | 7,289,719 | ||||||
LyondellBasell Industries NV Class A |
13,678 | 1,284,227 | ||||||
Mosaic Co. |
15,495 | 710,911 | ||||||
NewMarket Corp. |
317 | 115,699 | ||||||
Newmont Corp. |
41,874 | 2,052,664 | ||||||
Nucor Corp. |
13,515 | 2,087,662 | ||||||
Olin Corp. |
6,445 | 357,698 | ||||||
PPG Industries, Inc. |
5,742 | 767,016 | ||||||
Reliance Steel & Aluminum Co. |
3,034 | 778,949 | ||||||
Royal Gold, Inc. |
3,209 | 416,239 | ||||||
RPM International, Inc. |
6,292 | 548,914 | ||||||
Southern Copper Corp. (Mexico) |
1,757 | 133,971 | ||||||
SSR Mining, Inc. (Canada) |
11,736 | 177,448 | ||||||
Steel Dynamics, Inc. |
8,649 | 977,856 | ||||||
United States Steel Corp. |
11,705 | 305,501 | ||||||
Westlake Corp. |
1,787 | 207,256 | ||||||
|
|
|||||||
34,876,648 | ||||||||
|
|
|||||||
Communications - 10.1% |
| |||||||
Alphabet, Inc. Class A * |
41,091 | 4,262,369 | ||||||
Alphabet, Inc. Class C * |
35,734 | 3,716,336 | ||||||
Altice USA, Inc. Class A * |
9,681 | 33,109 | ||||||
AT&T, Inc. |
376,220 | 7,242,235 | ||||||
Cable One, Inc. |
101 | 70,902 | ||||||
Ciena Corp. * |
7,654 | 401,988 | ||||||
Cisco Systems, Inc. |
215,944 | 11,288,473 | ||||||
Comcast Corp. Class A |
219,810 | 8,332,997 | ||||||
Corning, Inc. |
36,814 | 1,298,798 | ||||||
DISH Network Corp. Class A * |
12,609 | 117,642 | ||||||
DoorDash, Inc. Class A * |
1,330 | 84,535 | ||||||
eBay, Inc. |
24,545 | 1,089,062 | ||||||
F5, Inc. * |
3,093 | 450,619 | ||||||
Fox Corp. Class A |
15,154 | 515,994 | ||||||
Fox Corp. Class B |
7,604 | 238,081 | ||||||
Frontier Communications Parent, Inc. * |
12,722 | 289,680 | ||||||
Gen Digital, Inc. |
18,495 | 317,374 | ||||||
GoDaddy, Inc. Class A * |
7,007 | 544,584 | ||||||
IAC, Inc. * |
4,313 | 222,551 | ||||||
Interpublic Group of Cos., Inc. |
20,158 | 750,684 | ||||||
Juniper Networks, Inc. |
16,601 | 571,406 | ||||||
Liberty Broadband Corp. Class A * |
516 | 42,374 | ||||||
Liberty Broadband Corp. Class C * |
3,314 | 270,754 | ||||||
Liberty Media Corp. - Liberty Formula One Class A * |
1,241 | 83,767 | ||||||
Liberty Media Corp. - Liberty Formula One Class C * |
9,257 | 692,701 | ||||||
Liberty Media Corp. - Liberty SiriusXM Class A * |
3,543 | 99,523 | ||||||
Liberty Media Corp. - Liberty SiriusXM Class C * |
6,209 | 173,790 |
Shares |
Value |
|||||||
Lumen Technologies, Inc. |
59,327 | $157,216 | ||||||
Lyft, Inc. Class A * |
2,837 | 26,299 | ||||||
Match Group, Inc. * |
831 | 31,902 | ||||||
Meta Platforms, Inc. Class A * |
92,023 | 19,503,355 | ||||||
Motorola Solutions, Inc. |
8,661 | 2,478,172 | ||||||
Netflix, Inc. * |
12,629 | 4,363,067 | ||||||
New York Times Co. Class A |
8,436 | 327,992 | ||||||
News Corp. Class A |
19,732 | 340,772 | ||||||
News Corp. Class B |
5,501 | 95,882 | ||||||
Nexstar Media Group, Inc. |
1,711 | 295,421 | ||||||
Okta, Inc. * |
6,790 | 585,570 | ||||||
Omnicom Group, Inc. |
10,415 | 982,551 | ||||||
Opendoor Technologies, Inc. * |
16,826 | 29,614 | ||||||
Paramount Global Class A |
1,569 | 40,543 | ||||||
Paramount Global Class B |
29,961 | 668,430 | ||||||
Pinterest, Inc. Class A * |
24,347 | 663,943 | ||||||
Robinhood Markets, Inc. Class A * |
29,679 | 288,183 | ||||||
Roku, Inc. * |
4,535 | 298,494 | ||||||
Sirius XM Holdings, Inc. |
40,400 | 160,388 | ||||||
T-Mobile US, Inc. * |
30,814 | 4,463,100 | ||||||
TripAdvisor, Inc. * |
4,343 | 86,252 | ||||||
Uber Technologies, Inc. * |
13,372 | 423,892 | ||||||
Ubiquiti, Inc. |
210 | 57,055 | ||||||
VeriSign, Inc. * |
4,448 | 939,996 | ||||||
Verizon Communications, Inc. |
220,856 | 8,589,090 | ||||||
Viasat, Inc. * |
3,959 | 133,972 | ||||||
Walt Disney Co. * |
89,329 | 8,944,513 | ||||||
Warner Bros Discovery, Inc. * |
32,605 | 492,335 | ||||||
Wayfair, Inc. Class A * |
1,508 | 51,785 | ||||||
Wix.com Ltd. * (Israel) |
552 | 55,090 | ||||||
Zillow Group, Inc. Class A * |
2,529 | 110,517 | ||||||
Zillow Group, Inc. Class C * |
7,799 | 346,821 | ||||||
|
|
|||||||
99,234,540 | ||||||||
|
|
|||||||
Consumer, Cyclical - 8.0% |
| |||||||
Advance Auto Parts, Inc. |
2,834 | 344,643 | ||||||
Alaska Air Group, Inc. * |
6,499 | 272,698 | ||||||
Allison Transmission Holdings, Inc. |
817 | 36,961 | ||||||
AMC Entertainment Holdings, Inc. Class A * |
30,513 | 152,870 | ||||||
American Airlines Group, Inc. * |
33,551 | 494,877 | ||||||
Aptiv PLC * |
10,779 | 1,209,296 | ||||||
Aramark |
12,216 | 437,333 | ||||||
AutoNation, Inc. * |
1,794 | 241,042 | ||||||
AutoZone, Inc. * |
96 | 235,982 | ||||||
Bath & Body Works, Inc. |
11,885 | 434,753 | ||||||
Best Buy Co., Inc. |
7,056 | 552,273 | ||||||
BJs Wholesale Club Holdings, Inc. * |
2,651 | 201,662 | ||||||
BorgWarner, Inc. |
12,123 | 595,361 | ||||||
Boyd Gaming Corp. |
4,174 | 267,637 | ||||||
Brunswick Corp. |
3,100 | 254,200 | ||||||
Burlington Stores, Inc. * |
158 | 31,932 | ||||||
Caesars Entertainment, Inc. * |
3,493 | 170,493 | ||||||
Capri Holdings Ltd. * |
6,533 | 307,051 | ||||||
CarMax, Inc. * |
7,250 | 466,030 | ||||||
Carnival Corp. * |
50,679 | 514,392 | ||||||
Carters, Inc. |
1,865 | 134,131 | ||||||
Caseys General Stores, Inc. |
1,925 | 416,686 | ||||||
Columbia Sportswear Co. |
1,979 | 178,585 | ||||||
Copa Holdings SA Class A * (Panama) |
1,444 | 133,353 | ||||||
Core & Main, Inc. Class A * |
1,979 | 45,715 | ||||||
Cummins, Inc. |
7,446 | 1,778,701 | ||||||
Darden Restaurants, Inc. |
1,743 | 270,444 | ||||||
Deckers Outdoor Corp. * |
146 | 65,634 | ||||||
Dicks Sporting Goods, Inc. |
2,761 | 391,758 | ||||||
Dolby Laboratories, Inc. Class A |
3,236 | 276,419 | ||||||
Dollar Tree, Inc. * |
7,485 | 1,074,472 | ||||||
Dominos Pizza, Inc. |
535 | 176,480 | ||||||
DR Horton, Inc. |
7,803 | 762,275 | ||||||
Ford Motor Co. |
207,374 | 2,612,912 | ||||||
Freshpet, Inc. * |
928 | 61,424 | ||||||
GameStop Corp. Class A * |
14,146 | 325,641 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
240
PACIFIC SELECT FUND
PD LARGE-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Gap, Inc. |
9,067 | $91,033 | ||||||
General Motors Co. |
73,146 | 2,682,995 | ||||||
Gentex Corp. |
12,204 | 342,078 | ||||||
Genuine Parts Co. |
6,629 | 1,109,098 | ||||||
Hanesbrands, Inc. |
16,128 | 84,833 | ||||||
Harley-Davidson, Inc. |
6,988 | 265,334 | ||||||
Hasbro, Inc. |
6,825 | 366,434 | ||||||
Hilton Worldwide Holdings, Inc. |
3,778 | 532,207 | ||||||
Home Depot, Inc. |
22,491 | 6,637,544 | ||||||
Hyatt Hotels Corp. Class A * |
2,472 | 276,345 | ||||||
JetBlue Airways Corp. * |
18,225 | 132,678 | ||||||
Kohls Corp. |
5,646 | 132,907 | ||||||
Las Vegas Sands Corp. * |
10,775 | 619,024 | ||||||
Lear Corp. |
3,056 | 426,281 | ||||||
Leggett & Platt, Inc. |
6,911 | 220,323 | ||||||
Lennar Corp. Class A |
13,296 | 1,397,543 | ||||||
Lennar Corp. Class B |
706 | 63,053 | ||||||
Leslies, Inc. * |
436 | 4,800 | ||||||
Lithia Motors, Inc. |
1,449 | 331,720 | ||||||
Live Nation Entertainment, Inc. * |
4,051 | 283,570 | ||||||
LKQ Corp. |
12,986 | 737,085 | ||||||
Lowes Cos., Inc. |
4,310 | 861,871 | ||||||
Lucid Group, Inc. * |
1,501 | 12,068 | ||||||
Macys, Inc. |
14,631 | 255,896 | ||||||
Madison Square Garden Sports Corp. |
554 | 107,947 | ||||||
Marriott Vacations Worldwide Corp. |
1,942 | 261,898 | ||||||
Mattel, Inc. * |
10,142 | 186,714 | ||||||
McDonalds Corp. |
29,396 | 8,219,416 | ||||||
MGM Resorts International |
16,449 | 730,665 | ||||||
MSC Industrial Direct Co., Inc. Class A |
2,400 | 201,600 | ||||||
Newell Brands, Inc. |
20,687 | 257,346 | ||||||
Nordstrom, Inc. |
609 | 9,908 | ||||||
Norwegian Cruise Line Holdings Ltd. * |
20,892 | 280,997 | ||||||
NVR, Inc. * |
45 | 250,749 | ||||||
OReilly Automotive, Inc. * |
1,943 | 1,649,568 | ||||||
Ollies Bargain Outlet Holdings, Inc. * |
2,965 | 171,792 | ||||||
PACCAR, Inc. |
26,994 | 1,975,961 | ||||||
Peloton Interactive, Inc. Class A * |
16,300 | 184,842 | ||||||
Penn Entertainment, Inc. * |
8,075 | 239,505 | ||||||
Penske Automotive Group, Inc. |
1,387 | 196,690 | ||||||
Petco Health & Wellness Co., Inc. * |
4,181 | 37,629 | ||||||
Planet Fitness, Inc. Class A * |
1,192 | 92,583 | ||||||
Polaris, Inc. |
896 | 99,124 | ||||||
PulteGroup, Inc. |
7,171 | 417,926 | ||||||
PVH Corp. |
3,520 | 313,843 | ||||||
QuantumScape Corp. * |
15,218 | 124,483 | ||||||
Ralph Lauren Corp. |
2,106 | 245,707 | ||||||
RH * |
617 | 150,270 | ||||||
Rivian Automotive, Inc. Class A * |
26,997 | 417,914 | ||||||
Ross Stores, Inc. |
10,204 | 1,082,951 | ||||||
Royal Caribbean Cruises Ltd. * |
11,443 | 747,228 | ||||||
Scotts Miracle-Gro Co. |
1,606 | 112,002 | ||||||
SiteOne Landscape Supply, Inc. * |
981 | 134,269 | ||||||
Six Flags Entertainment Corp. * |
2,349 | 62,742 | ||||||
Skechers USA, Inc. Class A * |
5,971 | 283,742 | ||||||
Southwest Airlines Co. |
30,769 | 1,001,223 | ||||||
Starbucks Corp. |
38,563 | 4,015,565 | ||||||
Tapestry, Inc. |
10,611 | 457,440 | ||||||
Target Corp. |
10,988 | 1,819,942 | ||||||
Tempur Sealy International, Inc. |
8,655 | 341,786 | ||||||
Thor Industries, Inc. |
2,794 | 222,514 | ||||||
Toll Brothers, Inc. |
2,821 | 169,345 | ||||||
Travel & Leisure Co. |
1,427 | 55,938 | ||||||
Under Armour, Inc. Class A * |
9,235 | 87,640 | ||||||
Under Armour, Inc. Class C * |
9,903 | 84,473 | ||||||
United Airlines Holdings, Inc. * |
16,945 | 749,816 | ||||||
Univar Solutions, Inc. * |
8,352 | 292,571 | ||||||
Vail Resorts, Inc. |
110 | 25,705 | ||||||
VF Corp. |
18,161 | 416,069 | ||||||
Victorias Secret, Inc. * |
948 | 32,374 | ||||||
Walgreens Boots Alliance, Inc. |
38,120 | 1,318,190 | ||||||
Walmart, Inc. |
74,690 | 11,013,041 |
Shares |
Value |
|||||||
Watsco, Inc. |
810 | $ 257,710 | ||||||
WESCO International, Inc. |
1,161 | 179,421 | ||||||
Whirlpool Corp. |
2,798 | 369,392 | ||||||
Williams-Sonoma, Inc. |
843 | 102,559 | ||||||
Wyndham Hotels & Resorts, Inc. |
1,561 | 105,914 | ||||||
Wynn Resorts Ltd. * |
4,732 | 529,558 | ||||||
Yum! Brands, Inc. |
13,186 | 1,741,607 | ||||||
|
|
|||||||
78,430,640 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 24.2% |
| |||||||
10X Genomics, Inc. Class A * |
611 | 34,088 | ||||||
Abbott Laboratories |
78,211 | 7,919,646 | ||||||
Acadia Healthcare Co., Inc. * |
4,626 | 334,228 | ||||||
ADT, Inc. |
13,022 | 94,149 | ||||||
Affirm Holdings, Inc. * |
10,454 | 117,817 | ||||||
agilon health, Inc. * |
1,043 | 24,771 | ||||||
Albertsons Cos., Inc. Class A |
12,105 | 251,542 | ||||||
Align Technology, Inc. * |
1,019 | 340,489 | ||||||
Altria Group, Inc. |
94,204 | 4,203,382 | ||||||
Amedisys, Inc. * |
1,860 | 136,803 | ||||||
Amgen, Inc. |
4,443 | 1,074,095 | ||||||
Archer-Daniels-Midland Co. |
28,793 | 2,293,650 | ||||||
Automatic Data Processing, Inc. |
1,781 | 396,504 | ||||||
Avantor, Inc. * |
2,004 | 42,365 | ||||||
Avery Dennison Corp. |
1,628 | 291,298 | ||||||
Avis Budget Group, Inc. * |
1,340 | 261,032 | ||||||
Azenta, Inc. * |
3,427 | 152,913 | ||||||
Baxter International, Inc. |
22,812 | 925,255 | ||||||
Becton Dickinson & Co. |
14,919 | 3,693,049 | ||||||
Bio-Rad Laboratories, Inc. Class A * |
1,111 | 532,191 | ||||||
Biogen, Inc. * |
7,553 | 2,099,961 | ||||||
BioMarin Pharmaceutical, Inc. * |
9,587 | 932,240 | ||||||
Block, Inc. * |
28,234 | 1,938,264 | ||||||
Boston Scientific Corp. * |
74,972 | 3,750,849 | ||||||
Bright Horizons Family Solutions, Inc. * |
2,311 | 177,924 | ||||||
Bristol-Myers Squibb Co. |
111,910 | 7,756,482 | ||||||
Brown-Forman Corp. Class A |
867 | 56,520 | ||||||
Brown-Forman Corp. Class B |
3,945 | 253,545 | ||||||
Bunge Ltd. |
7,186 | 686,407 | ||||||
Campbell Soup Co. |
10,070 | 553,649 | ||||||
Cardinal Health, Inc. |
13,387 | 1,010,718 | ||||||
Catalent, Inc. * |
6,330 | 415,944 | ||||||
Centene Corp. * |
28,910 | 1,827,401 | ||||||
Certara, Inc. * |
2,118 | 51,065 | ||||||
Charles River Laboratories International, Inc. * |
228 | 46,015 | ||||||
Chemed Corp. |
489 | 262,960 | ||||||
Church & Dwight Co., Inc. |
6,901 | 610,117 | ||||||
Cigna Group |
12,948 | 3,308,602 | ||||||
Cintas Corp. |
332 | 153,610 | ||||||
Clarivate PLC * |
25,602 | 240,403 | ||||||
Clorox Co. |
1,041 | 164,728 | ||||||
Coca-Cola Co. |
51,293 | 3,181,705 | ||||||
Colgate-Palmolive Co. |
16,956 | 1,274,243 | ||||||
Conagra Brands, Inc. |
24,456 | 918,567 | ||||||
Constellation Brands, Inc. Class A |
8,005 | 1,808,249 | ||||||
Cooper Cos., Inc. |
2,524 | 942,361 | ||||||
Corteva, Inc. |
37,663 | 2,271,456 | ||||||
CoStar Group, Inc. * |
18,372 | 1,264,912 | ||||||
Coty, Inc. Class A * |
18,355 | 221,361 | ||||||
CVS Health Corp. |
67,451 | 5,012,284 | ||||||
Danaher Corp. |
31,702 | 7,990,172 | ||||||
Darling Ingredients, Inc. * |
7,738 | 451,899 | ||||||
Dentsply Sirona, Inc. |
11,246 | 441,743 | ||||||
Driven Brands Holdings, Inc. * |
2,917 | 88,414 | ||||||
Dun & Bradstreet Holdings, Inc. |
14,117 | 165,734 | ||||||
Elanco Animal Health, Inc. * |
24,180 | 227,292 | ||||||
Elevance Health, Inc. |
8,815 | 4,053,225 | ||||||
Eli Lilly & Co. |
8,235 | 2,828,064 | ||||||
Encompass Health Corp. |
5,087 | 275,207 | ||||||
Enhabit, Inc. * |
2,266 | 31,520 | ||||||
Enovis Corp. * |
2,526 | 135,116 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
241
PACIFIC SELECT FUND
PD LARGE-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Envista Holdings Corp. * |
8,651 | $353,653 | ||||||
Equifax, Inc. |
3,158 | 640,569 | ||||||
Euronet Worldwide, Inc. * |
763 | 85,380 | ||||||
Exact Sciences Corp. * |
7,437 | 504,303 | ||||||
Exelixis, Inc. * |
3,137 | 60,889 | ||||||
Flowers Foods, Inc. |
9,736 | 266,864 | ||||||
FTI Consulting, Inc. * |
1,045 | 206,231 | ||||||
GE HealthCare Technologies, Inc. * |
18,284 | 1,499,837 | ||||||
General Mills, Inc. |
31,001 | 2,649,345 | ||||||
Gilead Sciences, Inc. |
65,961 | 5,472,784 | ||||||
Ginkgo Bioworks Holdings, Inc. * |
30,305 | 40,306 | ||||||
Global Payments, Inc. |
13,847 | 1,457,258 | ||||||
Globus Medical, Inc. Class A * |
3,872 | 219,310 | ||||||
Grand Canyon Education, Inc. * |
1,725 | 196,477 | ||||||
Grocery Outlet Holding Corp. * |
3,952 | 111,684 | ||||||
GXO Logistics, Inc. * |
4,964 | 250,483 | ||||||
H&R Block, Inc. |
1,583 | 55,801 | ||||||
HCA Healthcare, Inc. |
10,645 | 2,806,874 | ||||||
Henry Schein, Inc. * |
7,023 | 572,655 | ||||||
Hershey Co. |
1,055 | 268,403 | ||||||
Hertz Global Holdings, Inc. * |
8,823 | 143,727 | ||||||
Hologic, Inc. * |
12,635 | 1,019,644 | ||||||
Horizon Therapeutics PLC * |
728 | 79,454 | ||||||
Hormel Foods Corp. |
14,894 | 593,973 | ||||||
Humana, Inc. |
1,933 | 938,394 | ||||||
ICU Medical, Inc. * |
936 | 154,403 | ||||||
Illumina, Inc. * |
8,291 | 1,928,072 | ||||||
Incyte Corp. * |
1,296 | 93,662 | ||||||
Ingredion, Inc. |
3,405 | 346,391 | ||||||
Integra LifeSciences Holdings Corp. * |
3,774 | 216,665 | ||||||
Intuitive Surgical, Inc. * |
1,447 | 369,665 | ||||||
Ionis Pharmaceuticals, Inc. * |
389 | 13,903 | ||||||
J M Smucker Co. |
5,537 | 871,358 | ||||||
Jazz Pharmaceuticals PLC * |
3,198 | 467,963 | ||||||
Johnson & Johnson |
138,293 | 21,435,415 | ||||||
Kellogg Co. |
5,987 | 400,890 | ||||||
Keurig Dr Pepper, Inc. |
45,356 | 1,600,160 | ||||||
Kimberly-Clark Corp. |
7,119 | 955,512 | ||||||
Kraft Heinz Co. |
37,051 | 1,432,762 | ||||||
Kroger Co. |
34,662 | 1,711,263 | ||||||
Laboratory Corp. of America Holdings |
4,601 | 1,055,561 | ||||||
ManpowerGroup, Inc. |
2,797 | 230,836 | ||||||
Masimo Corp. * |
638 | 117,737 | ||||||
McCormick & Co., Inc. |
13,024 | 1,083,727 | ||||||
McKesson Corp. |
5,810 | 2,068,650 | ||||||
Medtronic PLC |
70,233 | 5,662,184 | ||||||
Merck & Co., Inc. |
77,232 | 8,216,712 | ||||||
Mirati Therapeutics, Inc. * |
2,627 | 97,672 | ||||||
Mister Car Wash, Inc. * |
1,318 | 11,361 | ||||||
Moderna, Inc. * |
16,403 | 2,519,173 | ||||||
Molina Healthcare, Inc. * |
706 | 188,848 | ||||||
Molson Coors Beverage Co. Class B |
9,093 | 469,926 | ||||||
Mondelez International, Inc. Class A |
71,641 | 4,994,811 | ||||||
Monster Beverage Corp. * |
3,128 | 168,943 | ||||||
Moodys Corp. |
479 | 146,584 | ||||||
Morningstar, Inc. |
147 | 29,845 | ||||||
Natera, Inc. * |
190 | 10,549 | ||||||
Oak Street Health, Inc. * |
6,164 | 238,424 | ||||||
Organon & Co. |
13,446 | 316,250 | ||||||
PayPal Holdings, Inc. * |
41,442 | 3,147,105 | ||||||
PepsiCo, Inc. |
11,302 | 2,060,355 | ||||||
Performance Food Group Co. * |
5,459 | 329,396 | ||||||
PerkinElmer, Inc. |
6,553 | 873,253 | ||||||
Perrigo Co. PLC |
7,434 | 266,658 | ||||||
Pfizer, Inc. |
296,994 | 12,117,355 | ||||||
Philip Morris International, Inc. |
81,425 | 7,918,581 | ||||||
Pilgrims Pride Corp. * |
1,067 | 24,733 | ||||||
Post Holdings, Inc. * |
3,015 | 270,958 | ||||||
Premier, Inc. Class A |
6,503 | 210,502 | ||||||
Procter & Gamble Co. |
71,198 | 10,586,431 | ||||||
QIAGEN NV * |
11,783 | 541,193 | ||||||
Quanta Services, Inc. |
3,356 | 559,244 |
Shares |
Value |
|||||||
Quest Diagnostics, Inc. |
5,747 | $ 813,086 | ||||||
QuidelOrtho Corp. * |
2,610 | 232,525 | ||||||
Regeneron Pharmaceuticals, Inc. * |
4,651 | 3,821,587 | ||||||
Repligen Corp. * |
898 | 151,187 | ||||||
Reynolds Consumer Products, Inc. |
2,762 | 75,955 | ||||||
Ritchie Bros Auctioneers, Inc. (Canada) |
556 | 31,297 | ||||||
Robert Half International, Inc. |
741 | 59,702 | ||||||
Rollins, Inc. |
632 | 23,719 | ||||||
Royalty Pharma PLC Class A |
19,322 | 696,172 | ||||||
S&P Global, Inc. |
16,907 | 5,829,026 | ||||||
Seaboard Corp. |
11 | 41,470 | ||||||
Service Corp. International |
7,770 | 534,421 | ||||||
Spectrum Brands Holdings, Inc. |
2,270 | 150,319 | ||||||
STERIS PLC |
5,185 | 991,787 | ||||||
Stryker Corp. |
8,597 | 2,454,186 | ||||||
Syneos Health, Inc. * |
4,805 | 171,154 | ||||||
Tandem Diabetes Care, Inc. * |
125 | 5,076 | ||||||
Teladoc Health, Inc. * |
7,906 | 204,765 | ||||||
Teleflex, Inc. |
2,437 | 617,316 | ||||||
Tenet Healthcare Corp. * |
5,521 | 328,058 | ||||||
Thermo Fisher Scientific, Inc. |
18,052 | 10,404,631 | ||||||
TransUnion |
2,825 | 175,545 | ||||||
Tyson Foods, Inc. Class A |
14,926 | 885,410 | ||||||
U-Haul Holding Co. |
4,609 | 242,120 | ||||||
Ultragenyx Pharmaceutical, Inc. * |
546 | 21,895 | ||||||
United Rentals, Inc. |
1,963 | 776,877 | ||||||
United Therapeutics Corp. * |
2,317 | 518,915 | ||||||
UnitedHealth Group, Inc. |
4,437 | 2,096,882 | ||||||
Universal Health Services, Inc. Class B |
3,223 | 409,643 | ||||||
US Foods Holding Corp. * |
10,483 | 387,242 | ||||||
Vertex Pharmaceuticals, Inc. * |
757 | 238,508 | ||||||
Viatris, Inc. |
62,952 | 605,598 | ||||||
WEX, Inc. * |
516 | 94,887 | ||||||
WillScot Mobile Mini Holdings Corp. * |
5,294 | 248,183 | ||||||
Zimmer Biomet Holdings, Inc. |
11,123 | 1,437,092 | ||||||
|
|
|||||||
237,802,370 | ||||||||
|
|
|||||||
Energy - 8.0% |
| |||||||
Antero Midstream Corp. |
17,817 | 186,900 | ||||||
Antero Resources Corp. * |
4,747 | 109,608 | ||||||
APA Corp. |
16,643 | 600,147 | ||||||
Baker Hughes Co. |
49,959 | 1,441,817 | ||||||
Cheniere Energy, Inc. |
5,497 | 866,327 | ||||||
Chesapeake Energy Corp. |
6,291 | 478,368 | ||||||
Chevron Corp. |
101,628 | 16,581,624 | ||||||
ConocoPhillips |
64,328 | 6,381,981 | ||||||
Coterra Energy, Inc. |
35,317 | 866,679 | ||||||
Devon Energy Corp. |
17,869 | 904,350 | ||||||
Diamondback Energy, Inc. |
3,991 | 539,463 | ||||||
DTE Midstream LLC * |
5,034 | 248,529 | ||||||
EOG Resources, Inc. |
8,450 | 968,623 | ||||||
EQT Corp. |
19,145 | 610,917 | ||||||
Exxon Mobil Corp. |
216,546 | 23,746,434 | ||||||
First Solar, Inc. * |
5,519 | 1,200,382 | ||||||
Halliburton Co. |
25,537 | 807,991 | ||||||
Hess Corp. |
3,175 | 420,180 | ||||||
HF Sinclair Corp. |
7,007 | 338,999 | ||||||
Kinder Morgan, Inc. |
104,964 | 1,837,920 | ||||||
Marathon Oil Corp. |
32,890 | 788,044 | ||||||
Marathon Petroleum Corp. |
23,812 | 3,210,572 | ||||||
NOV, Inc. |
20,499 | 379,436 | ||||||
Occidental Petroleum Corp. |
7,180 | 448,247 | ||||||
ONEOK, Inc. |
20,951 | 1,331,227 | ||||||
Ovintiv, Inc. |
3,444 | 124,260 | ||||||
PDC Energy, Inc. |
2,031 | 130,350 | ||||||
Phillips 66 |
24,513 | 2,485,128 | ||||||
Pioneer Natural Resources Co. |
5,560 | 1,135,574 | ||||||
Plug Power, Inc. * |
14,417 | 168,967 | ||||||
Range Resources Corp. |
4,137 | 109,506 | ||||||
Schlumberger NV |
74,212 | 3,643,809 | ||||||
Southwestern Energy Co. * |
53,662 | 268,310 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
242
PACIFIC SELECT FUND
PD LARGE-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Sunrun, Inc. * |
11,750 | $236,763 | ||||||
Valero Energy Corp. |
19,586 | 2,734,206 | ||||||
Vitesse Energy, Inc. |
2,785 | 52,999 | ||||||
Williams Cos., Inc. |
64,269 | 1,919,072 | ||||||
|
|
|||||||
78,303,709 | ||||||||
|
|
|||||||
Financial - 22.2% |
| |||||||
Affiliated Managers Group, Inc. |
2,027 | 288,685 | ||||||
Aflac, Inc. |
32,154 | 2,074,576 | ||||||
AGNC Investment Corp. REIT |
29,635 | 298,721 | ||||||
Air Lease Corp. |
5,661 | 222,874 | ||||||
Alexandria Real Estate Equities, Inc. REIT |
8,926 | 1,121,016 | ||||||
Allstate Corp. |
13,998 | 1,551,118 | ||||||
Ally Financial, Inc. |
15,500 | 395,095 | ||||||
American Express Co. |
29,293 | 4,831,880 | ||||||
American Financial Group, Inc. |
3,495 | 424,642 | ||||||
American Homes 4 Rent Class A REIT |
15,989 | 502,854 | ||||||
American International Group, Inc. |
38,636 | 1,945,709 | ||||||
American Tower Corp. REIT |
5,759 | 1,176,794 | ||||||
Americold Realty Trust, Inc. REIT |
13,962 | 397,219 | ||||||
Ameriprise Financial, Inc. |
1,978 | 606,257 | ||||||
Annaly Capital Management, Inc. REIT |
24,280 | 463,991 | ||||||
Aon PLC Class A |
662 | 208,722 | ||||||
Apartment Income REIT Corp. REIT |
7,146 | 255,898 | ||||||
Apollo Global Management, Inc. |
5,980 | 377,697 | ||||||
Arch Capital Group Ltd. * |
12,421 | 843,013 | ||||||
Arthur J Gallagher & Co. |
9,732 | 1,861,829 | ||||||
Assurant, Inc. |
2,336 | 280,484 | ||||||
Assured Guaranty Ltd. |
2,613 | 131,355 | ||||||
AvalonBay Communities, Inc. REIT |
7,428 | 1,248,350 | ||||||
Axis Capital Holdings Ltd. |
4,042 | 220,370 | ||||||
Bank of America Corp. |
369,059 | 10,555,087 | ||||||
Bank of Hawaii Corp. |
2,332 | 121,451 | ||||||
Bank of New York Mellon Corp. |
38,817 | 1,763,844 | ||||||
Bank OZK |
6,141 | 210,022 | ||||||
Berkshire Hathaway, Inc. Class B * |
94,801 | 29,271,705 | ||||||
BlackRock, Inc. |
7,793 | 5,214,452 | ||||||
BOK Financial Corp. |
1,685 | 142,231 | ||||||
Boston Properties, Inc. REIT |
8,142 | 440,645 | ||||||
Brighthouse Financial, Inc. * |
3,729 | 164,486 | ||||||
Brixmor Property Group, Inc. REIT |
15,877 | 341,673 | ||||||
Brown & Brown, Inc. |
11,348 | 651,602 | ||||||
Camden Property Trust REIT |
4,933 | 517,176 | ||||||
Capital One Financial Corp. |
20,096 | 1,932,431 | ||||||
Carlyle Group, Inc. |
10,754 | 334,019 | ||||||
Cboe Global Markets, Inc. |
5,499 | 738,186 | ||||||
CBRE Group, Inc. Class A * |
8,385 | 610,512 | ||||||
Charles Schwab Corp. |
35,665 | 1,868,133 | ||||||
Chubb Ltd. |
21,837 | 4,240,309 | ||||||
Cincinnati Financial Corp. |
8,227 | 922,082 | ||||||
Citigroup, Inc. |
101,715 | 4,769,416 | ||||||
Citizens Financial Group, Inc. |
25,368 | 770,426 | ||||||
CME Group, Inc. |
18,843 | 3,608,811 | ||||||
CNA Financial Corp. |
1,353 | 52,808 | ||||||
Coinbase Global, Inc. Class A * |
8,295 | 560,493 | ||||||
Columbia Banking System, Inc. |
10,968 | 234,935 | ||||||
Comerica, Inc. |
6,839 | 296,949 | ||||||
Commerce Bancshares, Inc. |
5,905 | 344,557 | ||||||
Cousins Properties, Inc. REIT |
7,980 | 170,612 | ||||||
Credit Acceptance Corp. * |
345 | 150,434 | ||||||
CubeSmart REIT |
11,611 | 536,660 | ||||||
Cullen/Frost Bankers, Inc. |
3,037 | 319,918 | ||||||
Digital Realty Trust, Inc. REIT |
15,181 | 1,492,444 | ||||||
Discover Financial Services |
14,157 | 1,399,278 | ||||||
Douglas Emmett, Inc. REIT |
9,714 | 119,774 | ||||||
East West Bancorp, Inc. |
7,346 | 407,703 | ||||||
EastGroup Properties, Inc. REIT |
2,137 | 353,289 | ||||||
EPR Properties REIT |
4,046 | 154,153 | ||||||
Equinix, Inc. REIT |
1,221 | 880,390 | ||||||
Equitable Holdings, Inc. |
19,147 | 486,142 | ||||||
Equity LifeStyle Properties, Inc. REIT |
3,597 | 241,467 |
Shares |
Value |
|||||||
Equity Residential REIT |
19,720 | $ 1,183,200 | ||||||
Erie Indemnity Co. Class A |
411 | 95,212 | ||||||
Essex Property Trust, Inc. REIT |
3,339 | 698,318 | ||||||
Evercore, Inc. Class A |
1,715 | 197,877 | ||||||
Everest Re Group Ltd. |
1,397 | 500,154 | ||||||
Extra Space Storage, Inc. REIT |
6,065 | 988,170 | ||||||
F&G Annuities & Life, Inc. |
881 | 15,964 | ||||||
Federal Realty Investment Trust REIT |
4,169 | 412,022 | ||||||
Fidelity National Financial, Inc. |
13,493 | 471,310 | ||||||
Fifth Third Bancorp |
35,400 | 943,056 | ||||||
First American Financial Corp. |
4,796 | 266,945 | ||||||
First Citizens BancShares, Inc. Class A |
438 | 426,218 | ||||||
First Hawaiian, Inc. |
7,045 | 145,338 | ||||||
First Horizon Corp. |
27,488 | 488,737 | ||||||
First Industrial Realty Trust, Inc. REIT |
6,849 | 364,367 | ||||||
First Republic Bank |
9,626 | 134,668 | ||||||
FNB Corp. |
18,590 | 215,644 | ||||||
Franklin Resources, Inc. |
14,822 | 399,305 | ||||||
Gaming & Leisure Properties, Inc. REIT |
12,683 | 660,277 | ||||||
Globe Life, Inc. |
4,645 | 511,043 | ||||||
Goldman Sachs Group, Inc. |
17,234 | 5,637,414 | ||||||
Hanover Insurance Group, Inc. |
1,839 | 236,311 | ||||||
Hartford Financial Services Group, Inc. |
16,916 | 1,178,876 | ||||||
Healthcare Realty Trust, Inc. REIT |
19,695 | 380,704 | ||||||
Healthpeak Properties, Inc. REIT |
28,389 | 623,706 | ||||||
Highwoods Properties, Inc. REIT |
5,969 | 138,421 | ||||||
Host Hotels & Resorts, Inc. REIT |
36,775 | 606,420 | ||||||
Howard Hughes Corp. * |
1,869 | 149,520 | ||||||
Hudson Pacific Properties, Inc. REIT |
6,675 | 44,389 | ||||||
Huntington Bancshares, Inc. |
74,561 | 835,083 | ||||||
Interactive Brokers Group, Inc. Class A |
4,823 | 398,187 | ||||||
Intercontinental Exchange, Inc. |
28,992 | 3,023,576 | ||||||
Invesco Ltd. |
19,396 | 318,094 | ||||||
Invitation Homes, Inc. REIT |
31,706 | 990,178 | ||||||
Iron Mountain, Inc. REIT |
3,881 | 205,344 | ||||||
Janus Henderson Group PLC |
6,375 | 169,830 | ||||||
JBG SMITH Properties REIT |
5,503 | 82,875 | ||||||
Jefferies Financial Group, Inc. |
10,540 | 334,540 | ||||||
Jones Lang LaSalle, Inc. * |
2,480 | 360,815 | ||||||
JPMorgan Chase & Co. |
153,270 | 19,972,614 | ||||||
Kemper Corp. |
3,299 | 180,323 | ||||||
KeyCorp |
48,274 | 604,390 | ||||||
Kilroy Realty Corp. REIT |
5,709 | 184,972 | ||||||
Kimco Realty Corp. REIT |
31,377 | 612,793 | ||||||
KKR & Co., Inc. |
30,288 | 1,590,726 | ||||||
Lamar Advertising Co. Class A REIT |
622 | 62,132 | ||||||
Lazard Ltd. Class A |
4,714 | 156,081 | ||||||
Life Storage, Inc. REIT |
4,370 | 572,863 | ||||||
Lincoln National Corp. |
7,517 | 168,907 | ||||||
Loews Corp. |
10,101 | 586,060 | ||||||
M&T Bank Corp. |
8,932 | 1,067,999 | ||||||
Macerich Co. REIT |
1 | 11 | ||||||
Markel Corp. * |
529 | 675,750 | ||||||
Marsh & McLennan Cos., Inc. |
2,756 | 459,012 | ||||||
Medical Properties Trust, Inc. REIT |
31,656 | 260,212 | ||||||
MetLife, Inc. |
34,850 | 2,019,209 | ||||||
MGIC Investment Corp. |
14,368 | 192,819 | ||||||
Mid-America Apartment Communities, Inc. REIT |
5,965 | 900,954 | ||||||
Morgan Stanley |
64,781 | 5,687,772 | ||||||
Nasdaq, Inc. |
17,864 | 976,625 | ||||||
National Retail Properties, Inc. REIT |
9,401 | 415,054 | ||||||
National Storage Affiliates Trust REIT |
4,584 | 191,520 | ||||||
New York Community Bancorp, Inc. |
34,768 | 314,303 | ||||||
Northern Trust Corp. |
10,679 | 941,140 | ||||||
Old Republic International Corp. |
14,503 | 362,140 | ||||||
Omega Healthcare Investors, Inc. REIT |
12,207 | 334,594 | ||||||
OneMain Holdings, Inc. |
6,387 | 236,830 | ||||||
PacWest Bancorp |
5,223 | 50,820 | ||||||
Park Hotels & Resorts, Inc. REIT |
10,959 | 135,453 | ||||||
Pinnacle Financial Partners, Inc. |
4,194 | 231,341 | ||||||
PNC Financial Services Group, Inc. |
21,157 | 2,689,055 | ||||||
Popular, Inc. |
3,708 | 212,876 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
243
PACIFIC SELECT FUND
PD LARGE-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Primerica, Inc. |
1,937 | $333,629 | ||||||
Principal Financial Group, Inc. |
12,580 | 934,946 | ||||||
Progressive Corp. |
3,947 | 564,658 | ||||||
Prologis, Inc. REIT |
48,370 | 6,035,125 | ||||||
Prosperity Bancshares, Inc. |
4,548 | 279,793 | ||||||
Prudential Financial, Inc. |
19,135 | 1,583,230 | ||||||
Public Storage REIT |
1,674 | 505,782 | ||||||
Raymond James Financial, Inc. |
9,616 | 896,884 | ||||||
Rayonier, Inc. REIT |
7,907 | 262,987 | ||||||
Realty Income Corp. REIT |
33,061 | 2,093,422 | ||||||
Regency Centers Corp. REIT |
8,902 | 544,624 | ||||||
Regions Financial Corp. |
48,562 | 901,311 | ||||||
Reinsurance Group of America, Inc. |
3,471 | 460,810 | ||||||
RenaissanceRe Holdings Ltd. (Bermuda) |
1,060 | 212,360 | ||||||
Rexford Industrial Realty, Inc. REIT |
10,156 | 605,805 | ||||||
Rithm Capital Corp. REIT |
23,318 | 186,544 | ||||||
Rocket Cos., Inc. Class A * |
3,602 | 32,634 | ||||||
SBA Communications Corp. REIT |
4,278 | 1,116,857 | ||||||
SEI Investments Co. |
5,342 | 307,432 | ||||||
Simon Property Group, Inc. REIT |
8,729 | 977,386 | ||||||
SL Green Realty Corp. REIT |
3,048 | 71,689 | ||||||
SLM Corp. |
11,182 | 138,545 | ||||||
SoFi Technologies, Inc. * |
41,866 | 254,127 | ||||||
Spirit Realty Capital, Inc. REIT |
7,228 | 287,963 | ||||||
Starwood Property Trust, Inc. REIT |
14,206 | 251,304 | ||||||
State Street Corp. |
18,123 | 1,371,730 | ||||||
Stifel Financial Corp. |
5,518 | 326,059 | ||||||
Sun Communities, Inc. REIT |
6,526 | 919,383 | ||||||
Synchrony Financial |
22,626 | 657,964 | ||||||
Synovus Financial Corp. |
7,677 | 236,682 | ||||||
T Rowe Price Group, Inc. |
11,431 | 1,290,560 | ||||||
TFS Financial Corp. |
3,338 | 42,159 | ||||||
Tradeweb Markets, Inc. Class A |
2,226 | 175,899 | ||||||
Travelers Cos., Inc. |
12,329 | 2,113,314 | ||||||
Truist Financial Corp. |
70,030 | 2,388,023 | ||||||
UDR, Inc. REIT |
17,030 | 699,252 | ||||||
Unum Group |
10,293 | 407,191 | ||||||
Upstart Holdings, Inc. * |
2,747 | 43,650 | ||||||
US Bancorp |
72,743 | 2,622,385 | ||||||
UWM Holdings Corp. |
2,320 | 11,391 | ||||||
Ventas, Inc. REIT |
20,743 | 899,209 | ||||||
VICI Properties, Inc. REIT |
52,979 | 1,728,175 | ||||||
Virtu Financial, Inc. Class A |
5,096 | 96,314 | ||||||
Vornado Realty Trust REIT |
8,797 | 135,210 | ||||||
Voya Financial, Inc. |
5,056 | 361,302 | ||||||
W R Berkley Corp. |
10,695 | 665,871 | ||||||
Webster Financial Corp. |
8,977 | 353,873 | ||||||
Wells Fargo & Co. |
201,568 | 7,534,612 | ||||||
Welltower, Inc. REIT |
24,983 | 1,791,031 | ||||||
Western Alliance Bancorp |
1,868 | 66,389 | ||||||
Western Union Co. |
12,864 | 143,434 | ||||||
WeWork, Inc. Class A * |
6,014 | 4,675 | ||||||
Weyerhaeuser Co. REIT |
39,178 | 1,180,433 | ||||||
White Mountains Insurance Group Ltd. |
133 | 183,206 | ||||||
Willis Towers Watson PLC |
5,593 | 1,299,701 | ||||||
Wintrust Financial Corp. |
3,244 | 236,650 | ||||||
WP Carey, Inc. REIT |
11,201 | 867,517 | ||||||
Zions Bancorp NA |
8,084 | 241,954 | ||||||
|
|
|||||||
217,934,357 | ||||||||
|
|
|||||||
Industrial - 10.1% |
| |||||||
3M Co. |
28,965 | 3,044,511 | ||||||
Acuity Brands, Inc. |
1,707 | 311,920 | ||||||
AECOM |
6,423 | 541,587 | ||||||
AGCO Corp. |
2,799 | 378,425 | ||||||
Agilent Technologies, Inc. |
1,673 | 231,443 | ||||||
Allegion PLC |
1,009 | 107,691 | ||||||
Amcor PLC |
79,624 | 906,121 | ||||||
AMETEK, Inc. |
12,177 | 1,769,683 | ||||||
Amphenol Corp. Class A |
7,486 | 611,756 | ||||||
AO Smith Corp. |
4,932 | 341,048 |
Shares |
Value |
|||||||
AptarGroup, Inc. |
3,452 | $ 407,992 | ||||||
Ardagh Group SA * W |
291 | 1,944 | ||||||
Ardagh Metal Packaging SA |
4,387 | 17,899 | ||||||
Armstrong World Industries, Inc. |
1,232 | 87,768 | ||||||
Arrow Electronics, Inc. * |
2,959 | 369,490 | ||||||
Avnet, Inc. |
4,724 | 213,525 | ||||||
Axon Enterprise, Inc. * |
836 | 187,975 | ||||||
AZEK Co., Inc. * |
6,521 | 153,504 | ||||||
Ball Corp. |
9,645 | 531,536 | ||||||
Berry Global Group, Inc. |
3,120 | 183,768 | ||||||
Boeing Co. * |
20,061 | 4,261,558 | ||||||
Builders FirstSource, Inc. * |
7,554 | 670,644 | ||||||
BWX Technologies, Inc. |
3,022 | 190,507 | ||||||
Carlisle Cos., Inc. |
374 | 84,550 | ||||||
Carrier Global Corp. |
44,060 | 2,015,745 | ||||||
Caterpillar, Inc. |
3,491 | 798,881 | ||||||
CH Robinson Worldwide, Inc. |
4,407 | 437,924 | ||||||
Clean Harbors, Inc. * |
2,648 | 377,499 | ||||||
Cognex Corp. |
569 | 28,194 | ||||||
Coherent Corp. * |
4,940 | 188,115 | ||||||
Crane Co. |
2,469 | 280,232 | ||||||
Crown Holdings, Inc. |
650 | 53,762 | ||||||
CSX Corp. |
82,650 | 2,474,541 | ||||||
Curtiss-Wright Corp. |
1,989 | 350,581 | ||||||
Donaldson Co., Inc. |
5,318 | 347,478 | ||||||
Dover Corp. |
7,278 | 1,105,819 | ||||||
Eagle Materials, Inc. |
308 | 45,199 | ||||||
Eaton Corp. PLC |
20,971 | 3,593,171 | ||||||
Emerson Electric Co. |
20,455 | 1,782,449 | ||||||
Esab Corp. |
3,119 | 184,239 | ||||||
Expeditors International of Washington, Inc. |
5,695 | 627,133 | ||||||
FedEx Corp. |
12,282 | 2,806,314 | ||||||
Flowserve Corp. |
7,016 | 238,544 | ||||||
Fortive Corp. |
18,830 | 1,283,641 | ||||||
Fortune Brands Innovations, Inc. |
4,447 | 261,172 | ||||||
Garmin Ltd. |
8,009 | 808,268 | ||||||
Gates Industrial Corp. PLC * |
5,996 | 83,284 | ||||||
General Dynamics Corp. |
12,780 | 2,916,524 | ||||||
General Electric Co. |
53,758 | 5,139,265 | ||||||
Graco, Inc. |
2,848 | 207,933 | ||||||
Graphic Packaging Holding Co. |
3,241 | 82,613 | ||||||
Hayward Holdings, Inc. * |
4,006 | 46,950 | ||||||
HEICO Corp. |
131 | 22,406 | ||||||
HEICO Corp. Class A |
230 | 31,257 | ||||||
Hexcel Corp. |
4,353 | 297,092 | ||||||
Honeywell International, Inc. |
25,002 | 4,778,382 | ||||||
Howmet Aerospace, Inc. |
17,390 | 736,814 | ||||||
Hubbell, Inc. |
2,782 | 676,888 | ||||||
Huntington Ingalls Industries, Inc. |
1,595 | 330,197 | ||||||
IDEX Corp. |
3,244 | 749,461 | ||||||
Illinois Tool Works, Inc. |
1,605 | 390,737 | ||||||
Ingersoll Rand, Inc. |
21,631 | 1,258,492 | ||||||
ITT, Inc. |
4,336 | 374,197 | ||||||
Jabil, Inc. |
1,402 | 123,600 | ||||||
Jacobs Solutions, Inc. |
6,541 | 768,633 | ||||||
JB Hunt Transport Services, Inc. |
458 | 80,361 | ||||||
Johnson Controls International PLC |
36,277 | 2,184,601 | ||||||
Keysight Technologies, Inc. * |
621 | 100,279 | ||||||
Kirby Corp. * |
3,101 | 216,140 | ||||||
Knight-Swift Transportation Holdings, Inc. |
8,104 | 458,524 | ||||||
L3Harris Technologies, Inc. |
10,017 | 1,965,736 | ||||||
Landstar System, Inc. |
277 | 49,655 | ||||||
Lennox International, Inc. |
1,659 | 416,874 | ||||||
Littelfuse, Inc. |
1,287 | 345,032 | ||||||
Louisiana-Pacific Corp. |
3,503 | 189,898 | ||||||
Martin Marietta Materials, Inc. |
2,947 | 1,046,362 | ||||||
Masco Corp. |
11,095 | 551,643 | ||||||
MasTec, Inc. * |
3,247 | 306,647 | ||||||
Masterbrand, Inc. * |
3,958 | 31,822 | ||||||
MDU Resources Group, Inc. |
10,492 | 319,796 | ||||||
Mercury Systems, Inc. * |
2,521 | 128,874 | ||||||
Middleby Corp. * |
2,586 | 379,134 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
244
PACIFIC SELECT FUND
PD LARGE-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Mohawk Industries, Inc. * |
2,767 | $277,309 | ||||||
MSA Safety, Inc. |
1,166 | 155,661 | ||||||
National Instruments Corp. |
5,910 | 309,743 | ||||||
Nordson Corp. |
2,276 | 505,864 | ||||||
Norfolk Southern Corp. |
11,954 | 2,534,248 | ||||||
Northrop Grumman Corp. |
6,687 | 3,087,522 | ||||||
nVent Electric PLC |
8,581 | 368,468 | ||||||
Oshkosh Corp. |
3,411 | 283,727 | ||||||
Otis Worldwide Corp. |
19,366 | 1,634,490 | ||||||
Owens Corning |
4,845 | 464,151 | ||||||
Packaging Corp. of America |
4,741 | 658,193 | ||||||
Parker-Hannifin Corp. |
5,232 | 1,758,528 | ||||||
Pentair PLC |
8,547 | 472,393 | ||||||
Raytheon Technologies Corp. |
77,237 | 7,563,819 | ||||||
Regal Rexnord Corp. |
3,382 | 475,949 | ||||||
Republic Services, Inc. |
10,241 | 1,384,788 | ||||||
Rockwell Automation, Inc. |
1,940 | 569,293 | ||||||
RXO, Inc. * |
5,779 | 113,500 | ||||||
Ryder System, Inc. |
2,671 | 238,360 | ||||||
Schneider National, Inc. Class B |
2,847 | 76,157 | ||||||
Sensata Technologies Holding PLC |
7,854 | 392,857 | ||||||
Silgan Holdings, Inc. |
4,415 | 236,953 | ||||||
Snap-on, Inc. |
2,731 | 674,257 | ||||||
Sonoco Products Co. |
5,054 | 308,294 | ||||||
Spirit AeroSystems Holdings, Inc. Class A |
246 | 8,494 | ||||||
Stanley Black & Decker, Inc. |
7,671 | 618,129 | ||||||
Stericycle, Inc. * |
4,762 | 207,671 | ||||||
TD SYNNEX Corp. |
2,425 | 234,716 | ||||||
Teledyne Technologies, Inc. * |
2,406 | 1,076,348 | ||||||
Tetra Tech, Inc. |
1,649 | 242,255 | ||||||
Textron, Inc. |
10,833 | 765,135 | ||||||
Timken Co. |
3,242 | 264,936 | ||||||
TopBuild Corp. * |
301 | 62,650 | ||||||
Trane Technologies PLC |
5,003 | 920,452 | ||||||
TransDigm Group, Inc. |
1,676 | 1,235,296 | ||||||
Trimble, Inc.* |
12,790 | 670,452 | ||||||
United Parcel Service, Inc. Class B |
4,277 | 829,695 | ||||||
Valmont Industries, Inc. |
940 | 300,123 | ||||||
Vertiv Holdings Co. |
13,890 | 198,766 | ||||||
Vontier Corp. |
2,807 | 76,743 | ||||||
Vulcan Materials Co. |
3,522 | 604,234 | ||||||
Waste Management, Inc. |
1,389 | 226,643 | ||||||
Westinghouse Air Brake Technologies Corp. |
9,405 | 950,469 | ||||||
Westrock Co. |
13,166 | 401,168 | ||||||
Woodward, Inc. |
3,076 | 299,510 | ||||||
XPO, Inc. * |
5,210 | 166,199 | ||||||
Xylem, Inc. |
8,003 | 837,914 | ||||||
|
|
|||||||
99,224,371 | ||||||||
|
|
|||||||
Technology - 6.7% |
| |||||||
Activision Blizzard, Inc. |
40,806 | 3,492,586 | ||||||
Advanced Micro Devices, Inc. * |
18,090 | 1,773,001 | ||||||
Akamai Technologies, Inc. * |
8,047 | 630,080 | ||||||
Amdocs Ltd. |
6,172 | 592,697 | ||||||
Analog Devices, Inc. |
21,226 | 4,186,192 | ||||||
ANSYS, Inc. * |
2,138 | 711,526 | ||||||
BILL Holdings, Inc. * |
5,137 | 416,816 | ||||||
Black Knight, Inc. * |
7,282 | 419,152 | ||||||
Broadridge Financial Solutions, Inc. |
557 | 81,639 | ||||||
CACI International, Inc. Class A * |
1,203 | 356,425 | ||||||
CCC Intelligent Solutions Holdings, Inc. * |
4,789 | 42,957 | ||||||
Ceridian HCM Holding, Inc. * |
5,758 | 421,601 | ||||||
Cirrus Logic, Inc. * |
2,846 | 311,295 | ||||||
Cognizant Technology Solutions Corp. Class A |
27,146 | 1,654,006 | ||||||
Concentrix Corp. |
2,306 | 280,294 | ||||||
Definitive Healthcare Corp. * |
1,177 | 12,158 | ||||||
Dell Technologies, Inc. Class C |
10,584 | 425,583 | ||||||
DoubleVerify Holdings, Inc. * |
1,163 | 35,064 | ||||||
Doximity, Inc. Class A * |
3,268 | 105,818 | ||||||
Dropbox, Inc. Class A * |
1,160 | 25,079 | ||||||
DXC Technology Co. * |
11,949 | 305,416 |
Shares |
Value |
|||||||
Electronic Arts, Inc. |
13,566 | $ 1,634,025 | ||||||
Fidelity National Information Services, Inc. |
31,350 | 1,703,245 | ||||||
Fiserv, Inc. * |
28,117 | 3,178,065 | ||||||
Genpact Ltd. |
4,573 | 211,364 | ||||||
GLOBALFOUNDRIES, Inc. * |
2,617 | 188,895 | ||||||
Guidewire Software, Inc. * |
4,257 | 349,287 | ||||||
Hewlett Packard Enterprise Co. |
66,784 | 1,063,869 | ||||||
HP, Inc. |
28,607 | 839,615 | ||||||
Informatica, Inc. Class A * |
1,890 | 30,996 | ||||||
Intel Corp. |
217,556 | 7,107,555 | ||||||
International Business Machines Corp. |
15,761 | 2,066,109 | ||||||
IPG Photonics Corp. * |
1,735 | 213,943 | ||||||
Jamf Holding Corp. * |
284 | 5,515 | ||||||
KBR, Inc. |
2,800 | 154,140 | ||||||
Kyndryl Holdings, Inc. * |
10,616 | 156,692 | ||||||
Leidos Holdings, Inc. |
7,076 | 651,417 | ||||||
Lumentum Holdings, Inc. * |
3,818 | 206,210 | ||||||
Manhattan Associates, Inc. * |
1,306 | 202,234 | ||||||
Marvell Technology, Inc. |
44,790 | 1,939,407 | ||||||
Microchip Technology, Inc. |
4,038 | 338,304 | ||||||
Micron Technology, Inc. |
46,279 | 2,792,475 | ||||||
MKS Instruments, Inc. |
2,976 | 263,733 | ||||||
MSCI, Inc. |
997 | 558,011 | ||||||
nCino, Inc. * |
3,329 | 82,493 | ||||||
NCR Corp. * |
6,851 | 161,615 | ||||||
Nutanix, Inc. Class A * |
5,778 | 150,170 | ||||||
ON Semiconductor Corp. * |
8,476 | 697,744 | ||||||
Oracle Corp. |
25,206 | 2,342,142 | ||||||
Paycor HCM, Inc. * |
3,376 | 89,532 | ||||||
Procore Technologies, Inc. * |
1,137 | 71,210 | ||||||
Qorvo, Inc. * |
5,175 | 525,625 | ||||||
Roper Technologies, Inc. |
5,553 | 2,447,152 | ||||||
Salesforce, Inc. * |
39,749 | 7,941,055 | ||||||
Science Applications International Corp. |
2,889 | 310,452 | ||||||
SentinelOne, Inc. Class A * |
2,356 | 38,544 | ||||||
Skyworks Solutions, Inc. |
8,253 | 973,689 | ||||||
Snowflake, Inc. Class A * |
1,127 | 173,885 | ||||||
SS&C Technologies Holdings, Inc. |
11,462 | 647,259 | ||||||
Take-Two Interactive Software, Inc. * |
1,504 | 179,427 | ||||||
Teradata Corp. * |
2,209 | 88,979 | ||||||
Teradyne, Inc. |
689 | 74,074 | ||||||
Texas Instruments, Inc. |
15,023 | 2,794,428 | ||||||
Twilio, Inc. Class A * |
5,628 | 374,994 | ||||||
Tyler Technologies, Inc. * |
256 | 90,788 | ||||||
UiPath, Inc. Class A * |
17,780 | 312,217 | ||||||
Unity Software, Inc. * |
4,121 | 133,685 | ||||||
VMware, Inc. Class A * |
5,695 | 711,021 | ||||||
Western Digital Corp. * |
16,513 | 622,045 | ||||||
Wolfspeed, Inc. * |
6,396 | 415,420 | ||||||
Zebra Technologies Corp. Class A * |
1,582 | 503,076 | ||||||
Zoom Video Communications, Inc. Class A * |
6,433 | 475,013 | ||||||
|
|
|||||||
65,562,225 | ||||||||
|
|
|||||||
Utilities - 5.5% |
| |||||||
AES Corp. |
28,422 | 684,402 | ||||||
Alliant Energy Corp. |
13,023 | 695,428 | ||||||
Ameren Corp. |
13,698 | 1,183,370 | ||||||
American Electric Power Co., Inc. |
27,035 | 2,459,915 | ||||||
American Water Works Co., Inc. |
10,221 | 1,497,274 | ||||||
Atmos Energy Corp. |
7,624 | 856,633 | ||||||
Avangrid, Inc. |
3,971 | 158,363 | ||||||
Brookfield Renewable Corp. Class A |
6,805 | 237,835 | ||||||
CenterPoint Energy, Inc. |
32,738 | 964,462 | ||||||
CMS Energy Corp. |
15,043 | 923,339 | ||||||
Consolidated Edison, Inc. |
18,730 | 1,791,899 | ||||||
Constellation Energy Corp. |
17,328 | 1,360,248 | ||||||
Dominion Energy, Inc. |
43,773 | 2,447,348 | ||||||
DTE Energy Co. |
10,024 | 1,098,029 | ||||||
Duke Energy Corp. |
40,456 | 3,902,790 | ||||||
Edison International |
19,943 | 1,407,776 | ||||||
Entergy Corp. |
10,548 | 1,136,442 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
245
PACIFIC SELECT FUND
PD LARGE-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Essential Utilities, Inc. |
12,021 | $524,717 | ||||||
Evergy, Inc. |
11,549 | 705,875 | ||||||
Eversource Energy |
18,271 | 1,429,888 | ||||||
Exelon Corp. |
52,273 | 2,189,716 | ||||||
FirstEnergy Corp. |
28,910 | 1,158,135 | ||||||
Hawaiian Electric Industries, Inc. |
6,116 | 234,854 | ||||||
IDACORP, Inc. |
2,614 | 283,175 | ||||||
National Fuel Gas Co. |
4,435 | 256,077 | ||||||
NextEra Energy, Inc. |
104,356 | 8,043,761 | ||||||
NiSource, Inc. |
21,094 | 589,788 | ||||||
NRG Energy, Inc. |
10,920 | 374,447 | ||||||
OGE Energy Corp. |
10,373 | 390,647 | ||||||
PG&E Corp. * |
87,261 | 1,411,010 | ||||||
Pinnacle West Capital Corp. |
5,864 | 464,663 | ||||||
PPL Corp. |
38,292 | 1,064,135 | ||||||
Public Service Enterprise Group, Inc. |
26,346 | 1,645,308 | ||||||
Sempra Energy |
16,545 | 2,500,942 | ||||||
Southern Co. |
57,135 | 3,975,453 | ||||||
UGI Corp. |
10,875 | 378,015 | ||||||
Vistra Corp. |
8,345 | 200,280 | ||||||
WEC Energy Group, Inc. |
16,691 | 1,582,140 | ||||||
Xcel Energy, Inc. |
28,752 | 1,939,035 | ||||||
|
|
|||||||
54,147,614 | ||||||||
|
|
|||||||
Total Common Stocks |
965,516,474 | |||||||
|
|
|||||||
EXCHANGE-TRADED FUND - 1.0% |
| |||||||
iShares Russell 1000 Value |
66,241 | 10,085,855 | ||||||
|
|
|||||||
Total Exchange-Traded Fund |
10,085,855 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.6% |
| |||||||
Repurchase Agreement - 0.6% |
| |||||||
Fixed Income Clearing Corp. |
$5,618,788 | 5,618,788 | ||||||
|
|
|||||||
Total Short-Term Investment |
5,618,788 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.9% |
981,221,117 | |||||||
|
|
|||||||
DERIVATIVES - 0.0% |
318,203 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.1% |
554,970 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$982,094,290 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
246
PACIFIC SELECT FUND
PD LARGE-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | An investment with a value of $1,944 or less than 0.1% of the Funds net assets was valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or to the Board of Trustees. |
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||||
S&P 500 E-Mini Index |
06/23 | 21 | $4,142,931 | $4,344,638 | $201,707 | |||||||||||||||
S&P MID 400 E-Mini Index |
06/23 | 9 | 2,160,234 | 2,276,730 | 116,496 | |||||||||||||||
|
|
|||||||||||||||||||
Total Futures Contracts |
$318,203 | |||||||||||||||||||
|
|
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
|||||||||||||||||
Basic Materials |
$34,876,648 | $34,876,648 | $- | $- | ||||||||||||||
Communications |
99,234,540 | 99,234,540 | - | - | ||||||||||||||
Consumer, Cyclical |
78,430,640 | 78,430,640 | - | - | ||||||||||||||
Consumer, Non-Cyclical |
237,802,370 | 237,802,370 | - | - | ||||||||||||||
Energy |
78,303,709 | 78,303,709 | - | - | ||||||||||||||
Financial |
217,934,357 | 217,934,357 | - | - | ||||||||||||||
Industrial |
99,224,371 | 99,222,427 | 1,944 | - | ||||||||||||||
Technology |
65,562,225 | 65,562,225 | - | - | ||||||||||||||
Utilities |
54,147,614 | 54,147,614 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
965,516,474 | 965,514,530 | 1,944 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Exchange-Traded Fund |
10,085,855 | 10,085,855 | - | - | ||||||||||||||
Short-Term Investment |
5,618,788 | - | 5,618,788 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
318,203 | 318,203 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$981,539,320 | $975,918,588 | $5,620,732 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
247
PACIFIC SELECT FUND
PD MID-CAP INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
COMMON STOCKS - 98.3% |
| |||||||
Basic Materials - 3.9% |
| |||||||
Albemarle Corp. |
3,906 | $863,382 | ||||||
Alcoa Corp. |
5,989 | 254,892 | ||||||
Ashland, Inc. |
1,746 | 179,332 | ||||||
Axalta Coating Systems Ltd. * |
7,187 | 217,694 | ||||||
Celanese Corp. |
3,615 | 393,637 | ||||||
CF Industries Holdings, Inc. |
6,533 | 473,577 | ||||||
Chemours Co. |
5,114 | 153,113 | ||||||
Cleveland-Cliffs, Inc. * |
17,162 | 314,580 | ||||||
DuPont de Nemours, Inc. |
15,308 | 1,098,655 | ||||||
Eastman Chemical Co. |
4,009 | 338,119 | ||||||
Element Solutions, Inc. |
7,338 | 141,697 | ||||||
FMC Corp. |
4,203 | 513,312 | ||||||
Huntsman Corp. |
6,265 | 171,410 | ||||||
International Flavors & Fragrances, Inc. |
8,505 | 782,120 | ||||||
International Paper Co. |
11,851 | 427,347 | ||||||
LyondellBasell Industries NV Class A |
8,576 | 805,201 | ||||||
Mosaic Co. |
11,348 | 520,646 | ||||||
MP Materials Corp. * |
2,953 | 83,245 | ||||||
NewMarket Corp. |
186 | 67,886 | ||||||
Nucor Corp. |
8,557 | 1,321,800 | ||||||
Olin Corp. |
4,148 | 230,214 | ||||||
PPG Industries, Inc. |
7,864 | 1,050,473 | ||||||
Reliance Steel & Aluminum Co. |
1,948 | 500,130 | ||||||
Royal Gold, Inc. |
2,206 | 286,140 | ||||||
RPM International, Inc. |
4,263 | 371,904 | ||||||
SSR Mining, Inc. (Canada) |
6,705 | 101,380 | ||||||
Steel Dynamics, Inc. |
5,555 | 628,048 | ||||||
United States Steel Corp. |
7,691 | 200,735 | ||||||
Valvoline, Inc. |
5,590 | 195,315 | ||||||
Westlake Corp. |
1,074 | 124,563 | ||||||
|
|
|||||||
12,810,547 | ||||||||
|
|
|||||||
Communications - 6.1% |
| |||||||
Altice USA, Inc. Class A * |
6,382 | 21,826 | ||||||
Arista Networks, Inc. * |
8,212 | 1,378,466 | ||||||
Cable One, Inc. |
188 | 131,976 | ||||||
CDW Corp. |
4,512 | 879,344 | ||||||
Ciena Corp. * |
4,982 | 261,655 | ||||||
Corning, Inc. |
24,553 | 866,230 | ||||||
DISH Network Corp. Class A * |
8,156 | 76,095 | ||||||
DoorDash, Inc. Class A * |
8,339 | 530,027 | ||||||
eBay, Inc. |
18,120 | 803,984 | ||||||
Etsy, Inc. * |
4,172 | 464,469 | ||||||
Expedia Group, Inc. * |
4,921 | 477,485 | ||||||
F5, Inc. * |
2,004 | 291,963 | ||||||
FactSet Research Systems, Inc. |
1,266 | 525,504 | ||||||
Fox Corp. Class A |
9,776 | 332,873 | ||||||
Fox Corp. Class B |
4,541 | 142,179 | ||||||
Frontier Communications Parent, Inc. * |
7,972 | 181,522 | ||||||
Gen Digital, Inc. |
18,428 | 316,224 | ||||||
GoDaddy, Inc. Class A * |
5,221 | 405,776 | ||||||
IAC, Inc. * |
2,502 | 129,103 | ||||||
Interpublic Group of Cos., Inc. |
12,947 | 482,146 | ||||||
Juniper Networks, Inc. |
10,696 | 368,156 | ||||||
Liberty Broadband Corp. Class A * |
567 | 46,562 | ||||||
Liberty Broadband Corp. Class C * |
3,996 | 326,473 | ||||||
Liberty Media Corp. - Liberty Formula One Class A * |
669 | 45,157 | ||||||
Liberty Media Corp. - Liberty Formula One Class C * |
6,695 | 500,987 | ||||||
Liberty Media Corp. - Liberty SiriusXM |
2,443 | 68,624 | ||||||
Liberty Media Corp. - Liberty SiriusXM |
5,038 | 141,014 | ||||||
Lumen Technologies, Inc. |
33,443 | 88,624 | ||||||
Lyft, Inc. Class A * |
10,611 | 98,364 | ||||||
Match Group, Inc. * |
9,323 | 357,910 | ||||||
Motorola Solutions, Inc. |
5,495 | 1,572,284 |
Shares |
Value |
|||||||
New York Times Co. Class A |
5,286 | $205,520 | ||||||
News Corp. Class A |
12,365 | 213,544 | ||||||
News Corp. Class B |
3,852 | 67,140 | ||||||
Nexstar Media Group, Inc. |
1,180 | 203,739 | ||||||
Okta, Inc. * |
5,047 | 435,253 | ||||||
Omnicom Group, Inc. |
6,690 | 631,135 | ||||||
Opendoor Technologies, Inc. * |
14,019 | 24,673 | ||||||
Paramount Global Class A |
512 | 13,230 | ||||||
Paramount Global Class B |
19,243 | 429,311 | ||||||
Pinterest, Inc. Class A * |
19,820 | 540,491 | ||||||
Robinhood Markets, Inc. Class A * |
19,594 | 190,258 | ||||||
Roku, Inc. * |
4,107 | 270,323 | ||||||
Sirius XM Holdings, Inc. |
22,844 | 90,691 | ||||||
Spotify Technology SA * |
4,671 | 624,139 | ||||||
Trade Desk, Inc. Class A * |
14,644 | 891,966 | ||||||
TripAdvisor, Inc. * |
3,324 | 66,015 | ||||||
Ubiquiti, Inc. |
135 | 36,678 | ||||||
VeriSign, Inc. * |
3,096 | 654,278 | ||||||
Viasat, Inc. * |
2,364 | 79,998 | ||||||
Warner Bros Discovery, Inc. * |
78,729 | 1,188,808 | ||||||
Wayfair, Inc. Class A * |
2,567 | 88,151 | ||||||
Wix.com Ltd. * (Israel) |
1,897 | 189,321 | ||||||
World Wrestling Entertainment, Inc. Class A |
1,401 | 127,855 | ||||||
Zillow Group, Inc. Class A * |
1,834 | 80,146 | ||||||
Zillow Group, Inc. Class C * |
5,138 | 228,487 | ||||||
|
|
|||||||
19,884,152 | ||||||||
|
|
|||||||
Consumer, Cyclical - 14.1% |
| |||||||
Advance Auto Parts, Inc. |
2,005 | 243,828 | ||||||
Alaska Air Group, Inc. * |
4,306 | 180,680 | ||||||
Allison Transmission Holdings, Inc. |
2,998 | 135,630 | ||||||
AMC Entertainment Holdings, Inc. Class A * |
16,823 | 84,283 | ||||||
American Airlines Group, Inc. * |
21,680 | 319,780 | ||||||
Aptiv PLC * |
9,022 | 1,012,178 | ||||||
Aramark |
7,927 | 283,787 | ||||||
AutoNation, Inc. * |
1,097 | 147,393 | ||||||
AutoZone, Inc. * |
625 | 1,536,344 | ||||||
Bath & Body Works, Inc. |
7,714 | 282,178 | ||||||
Best Buy Co., Inc. |
6,597 | 516,347 | ||||||
BJs Wholesale Club Holdings, Inc. * |
4,484 | 341,098 | ||||||
BorgWarner, Inc. |
7,798 | 382,960 | ||||||
Boyd Gaming Corp. |
2,638 | 169,149 | ||||||
Brunswick Corp. |
2,473 | 202,786 | ||||||
Burlington Stores, Inc. * |
2,167 | 437,951 | ||||||
Caesars Entertainment, Inc. * |
6,891 | 336,350 | ||||||
Capri Holdings Ltd. * |
4,206 | 197,682 | ||||||
CarMax, Inc. * |
5,303 | 340,877 | ||||||
Carnival Corp. * |
32,829 | 333,214 | ||||||
Carters, Inc. |
1,214 | 87,311 | ||||||
Carvana Co. * |
3,088 | 30,232 | ||||||
Caseys General Stores, Inc. |
1,252 | 271,008 | ||||||
Chipotle Mexican Grill, Inc. * |
917 | 1,566,502 | ||||||
Choice Hotels International, Inc. |
1,047 | 122,698 | ||||||
Churchill Downs, Inc. |
1,199 | 308,203 | ||||||
Columbia Sportswear Co. |
1,172 | 105,761 | ||||||
Copa Holdings SA Class A * (Panama) |
924 | 85,331 | ||||||
Copart, Inc. * |
14,225 | 1,069,862 | ||||||
Core & Main, Inc. Class A * |
2,387 | 55,140 | ||||||
Cummins, Inc. |
4,704 | 1,123,692 | ||||||
Darden Restaurants, Inc. |
4,085 | 633,829 | ||||||
Deckers Outdoor Corp. * |
880 | 395,604 | ||||||
Delta Air Lines, Inc. * |
21,361 | 745,926 | ||||||
Dicks Sporting Goods, Inc. |
1,794 | 254,551 | ||||||
Dolby Laboratories, Inc. Class A |
2,040 | 174,257 | ||||||
Dollar Tree, Inc. * |
6,967 | 1,000,113 | ||||||
Dominos Pizza, Inc. |
1,178 | 388,587 | ||||||
DR Horton, Inc. |
10,530 | 1,028,676 | ||||||
DraftKings, Inc. Class A * |
12,033 | 232,959 | ||||||
Fastenal Co. |
19,211 | 1,036,241 | ||||||
Five Below, Inc. * |
1,825 | 375,895 | ||||||
Floor & Decor Holdings, Inc. Class A * |
3,460 | 339,841 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
248
PACIFIC SELECT FUND
PD MID-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Freshpet, Inc. * |
1,480 | $97,961 | ||||||
GameStop Corp. Class A * |
9,291 | 213,879 | ||||||
Gap, Inc. |
6,332 | 63,573 | ||||||
Gentex Corp. |
7,993 | 224,044 | ||||||
Genuine Parts Co. |
4,633 | 775,147 | ||||||
Hanesbrands, Inc. |
11,344 | 59,669 | ||||||
Harley-Davidson, Inc. |
4,625 | 175,611 | ||||||
Hasbro, Inc. |
4,468 | 239,887 | ||||||
Hilton Worldwide Holdings, Inc. |
8,759 | 1,233,880 | ||||||
Hyatt Hotels Corp. Class A * |
1,628 | 181,994 | ||||||
JetBlue Airways Corp. * |
10,440 | 76,003 | ||||||
Kohls Corp. |
3,579 | 84,250 | ||||||
Las Vegas Sands Corp. * |
11,037 | 634,076 | ||||||
Lear Corp. |
1,984 | 276,748 | ||||||
Leggett & Platt, Inc. |
4,331 | 138,072 | ||||||
Lennar Corp. Class A |
8,368 | 879,561 | ||||||
Lennar Corp. Class B |
482 | 43,047 | ||||||
Leslies, Inc. * |
5,707 | 62,834 | ||||||
Lithia Motors, Inc. |
883 | 202,145 | ||||||
Live Nation Entertainment, Inc. * |
5,215 | 365,050 | ||||||
LKQ Corp. |
8,341 | 473,435 | ||||||
Lucid Group, Inc. * |
18,906 | 152,004 | ||||||
Lululemon Athletica, Inc. * |
3,727 | 1,357,336 | ||||||
Macys, Inc. |
9,257 | 161,905 | ||||||
Madison Square Garden Sports Corp. |
606 | 118,079 | ||||||
Marriott Vacations Worldwide Corp. |
1,286 | 173,430 | ||||||
Mattel, Inc. * |
11,442 | 210,647 | ||||||
MGM Resorts International |
10,565 | 469,297 | ||||||
MSC Industrial Direct Co., Inc. Class A |
1,504 | 126,336 | ||||||
Newell Brands, Inc. |
12,288 | 152,863 | ||||||
Nordstrom, Inc. |
3,642 | 59,255 | ||||||
Norwegian Cruise Line Holdings Ltd. * |
14,342 | 192,900 | ||||||
NVR, Inc. * |
97 | 540,502 | ||||||
OReilly Automotive, Inc. * |
2,070 | 1,757,389 | ||||||
Ollies Bargain Outlet Holdings, Inc. * |
2,031 | 117,676 | ||||||
PACCAR, Inc. |
17,080 | 1,250,256 | ||||||
Peloton Interactive, Inc. Class A * |
10,032 | 113,763 | ||||||
Penn Entertainment, Inc. * |
5,028 | 149,130 | ||||||
Penske Automotive Group, Inc. |
839 | 118,979 | ||||||
Petco Health & Wellness Co., Inc. * |
2,619 | 23,571 | ||||||
Planet Fitness, Inc. Class A * |
2,717 | 211,029 | ||||||
Polaris, Inc. |
1,792 | 198,249 | ||||||
Pool Corp. |
1,269 | 434,556 | ||||||
PulteGroup, Inc. |
7,563 | 440,772 | ||||||
PVH Corp. |
2,178 | 194,191 | ||||||
QuantumScape Corp. * |
8,391 | 68,638 | ||||||
Ralph Lauren Corp. |
1,320 | 154,004 | ||||||
RH * |
592 | 144,182 | ||||||
Rivian Automotive, Inc. Class A * |
17,622 | 272,789 | ||||||
Ross Stores, Inc. |
11,378 | 1,207,547 | ||||||
Royal Caribbean Cruises Ltd. * |
7,350 | 479,955 | ||||||
Scotts Miracle-Gro Co. |
1,314 | 91,638 | ||||||
SiteOne Landscape Supply, Inc. * |
1,448 | 198,188 | ||||||
Six Flags Entertainment Corp. * |
2,419 | 64,612 | ||||||
Skechers USA, Inc. Class A * |
4,355 | 206,950 | ||||||
Southwest Airlines Co. |
19,762 | 643,056 | ||||||
Tapestry, Inc. |
7,911 | 341,043 | ||||||
Tempur Sealy International, Inc. |
5,413 | 213,759 | ||||||
Thor Industries, Inc. |
1,680 | 133,795 | ||||||
Toll Brothers, Inc. |
3,747 | 224,932 | ||||||
Tractor Supply Co. |
3,685 | 866,122 | ||||||
Travel & Leisure Co. |
2,596 | 101,763 | ||||||
Ulta Beauty, Inc. * |
1,682 | 917,817 | ||||||
Under Armour, Inc. Class A * |
6,133 | 58,202 | ||||||
Under Armour, Inc. Class C * |
6,180 | 52,715 | ||||||
United Airlines Holdings, Inc. * |
10,884 | 481,617 | ||||||
Univar Solutions, Inc. * |
5,234 | 183,347 | ||||||
Vail Resorts, Inc. |
1,351 | 315,702 | ||||||
VF Corp. |
11,809 | 270,544 | ||||||
Victorias Secret, Inc. * |
2,640 | 90,156 | ||||||
Watsco, Inc. |
1,103 | 350,931 | ||||||
Wendys Co. |
5,551 | 120,901 |
Shares |
Value |
|||||||
WESCO International, Inc. |
1,517 | $234,437 | ||||||
Whirlpool Corp. |
1,808 | 238,692 | ||||||
Williams-Sonoma, Inc. |
2,236 | 272,032 | ||||||
WW Grainger, Inc. |
1,504 | 1,035,970 | ||||||
Wyndham Hotels & Resorts, Inc. |
2,825 | 191,676 | ||||||
Wynn Resorts Ltd. * |
3,479 | 389,335 | ||||||
YETI Holdings, Inc. * |
2,807 | 112,280 | ||||||
Yum! Brands, Inc. |
9,411 | 1,243,005 | ||||||
|
|
|||||||
46,114,027 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 17.9% |
| |||||||
10X Genomics, Inc. Class A * |
3,186 | 177,747 | ||||||
Acadia Healthcare Co., Inc. * |
2,899 | 209,453 | ||||||
ADT, Inc. |
6,803 | 49,186 | ||||||
Affirm Holdings, Inc. * |
7,200 | 81,144 | ||||||
agilon health, Inc. * |
6,497 | 154,304 | ||||||
Albertsons Cos., Inc. Class A |
8,055 | 167,383 | ||||||
Align Technology, Inc. * |
2,618 | 874,779 | ||||||
Alnylam Pharmaceuticals, Inc. * |
4,102 | 821,713 | ||||||
Amedisys, Inc. * |
1,041 | 76,566 | ||||||
AmerisourceBergen Corp. |
5,441 | 871,159 | ||||||
Avantor, Inc. * |
20,349 | 430,178 | ||||||
Avery Dennison Corp. |
2,717 | 486,153 | ||||||
Avis Budget Group, Inc. * |
884 | 172,203 | ||||||
Azenta, Inc. * |
2,224 | 99,235 | ||||||
Bio-Rad Laboratories, Inc. Class A * |
716 | 342,978 | ||||||
Bio-Techne Corp. |
5,192 | 385,194 | ||||||
Biogen, Inc. * |
4,784 | 1,330,096 | ||||||
BioMarin Pharmaceutical, Inc. * |
6,158 | 598,804 | ||||||
Booz Allen Hamilton Holding Corp. |
4,380 | 405,982 | ||||||
Boston Beer Co., Inc. Class A * |
307 | 100,911 | ||||||
Bright Horizons Family Solutions, Inc. * |
1,990 | 153,210 | ||||||
Brown-Forman Corp. Class A |
1,481 | 96,546 | ||||||
Brown-Forman Corp. Class B |
6,124 | 393,589 | ||||||
Bruker Corp. |
3,617 | 285,164 | ||||||
Bunge Ltd. |
4,616 | 440,920 | ||||||
Campbell Soup Co. |
6,483 | 356,435 | ||||||
Cardinal Health, Inc. |
8,598 | 649,149 | ||||||
Catalent, Inc. * |
5,971 | 392,354 | ||||||
Certara, Inc. * |
3,783 | 91,208 | ||||||
Charles River Laboratories International, Inc. * |
1,689 | 340,874 | ||||||
Chemed Corp. |
493 | 265,111 | ||||||
Church & Dwight Co., Inc. |
8,103 | 716,386 | ||||||
Cintas Corp. |
2,889 | 1,336,683 | ||||||
Clarivate PLC * |
16,302 | 153,076 | ||||||
Clorox Co. |
4,112 | 650,683 | ||||||
Conagra Brands, Inc. |
15,707 | 589,955 | ||||||
Cooper Cos., Inc. |
1,621 | 605,217 | ||||||
Corteva, Inc. |
23,877 | 1,440,022 | ||||||
CoStar Group, Inc. * |
13,460 | 926,721 | ||||||
Coty, Inc. Class A * |
11,438 | 137,942 | ||||||
Darling Ingredients, Inc. * |
5,382 | 314,309 | ||||||
DaVita, Inc. * |
1,810 | 146,809 | ||||||
Dentsply Sirona, Inc. |
7,224 | 283,759 | ||||||
Dexcom, Inc. * |
12,863 | 1,494,423 | ||||||
Driven Brands Holdings, Inc. * |
2,024 | 61,347 | ||||||
Dun & Bradstreet Holdings, Inc. |
8,184 | 96,080 | ||||||
Elanco Animal Health, Inc. * |
14,495 | 136,253 | ||||||
Encompass Health Corp. |
3,366 | 182,101 | ||||||
Enhabit, Inc. * |
1,444 | 20,086 | ||||||
Enovis Corp. * |
1,648 | 88,152 | ||||||
Envista Holdings Corp. * |
5,298 | 216,582 | ||||||
Equifax, Inc. |
4,056 | 822,719 | ||||||
Euronet Worldwide, Inc. * |
1,625 | 181,838 | ||||||
Exact Sciences Corp. * |
5,836 | 395,739 | ||||||
Exelixis, Inc. * |
10,411 | 202,078 | ||||||
FleetCor Technologies, Inc. * |
2,396 | 505,197 | ||||||
Flowers Foods, Inc. |
6,445 | 176,657 | ||||||
FTI Consulting, Inc. * |
1,144 | 225,768 | ||||||
Gartner, Inc. * |
2,561 | 834,297 | ||||||
Ginkgo Bioworks Holdings, Inc. * |
27,567 | 36,664 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
249
PACIFIC SELECT FUND
PD MID-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Global Payments, Inc. |
8,714 | $917,061 | ||||||
Globus Medical, Inc. Class A * |
2,512 | 142,280 | ||||||
Grand Canyon Education, Inc. * |
998 | 113,672 | ||||||
Grocery Outlet Holding Corp. * |
2,871 | 81,134 | ||||||
Guardant Health, Inc. * |
3,172 | 74,352 | ||||||
GXO Logistics, Inc. * |
3,647 | 184,028 | ||||||
H&R Block, Inc. |
5,219 | 183,970 | ||||||
Henry Schein, Inc. * |
4,520 | 368,561 | ||||||
Hershey Co. |
4,871 | 1,239,231 | ||||||
Hertz Global Holdings, Inc. * |
5,933 | 96,649 | ||||||
Hologic, Inc. * |
8,115 | 654,880 | ||||||
Horizon Therapeutics PLC * |
7,387 | 806,217 | ||||||
Hormel Foods Corp. |
9,573 | 381,771 | ||||||
ICU Medical, Inc. * |
656 | 108,214 | ||||||
IDEXX Laboratories, Inc. * |
2,743 | 1,371,719 | ||||||
Incyte Corp. * |
6,089 | 440,052 | ||||||
Ingredion, Inc. |
2,228 | 226,654 | ||||||
Insulet Corp. * |
2,297 | 732,651 | ||||||
Integra LifeSciences Holdings Corp. * |
2,357 | 135,315 | ||||||
Ionis Pharmaceuticals, Inc. * |
4,858 | 173,625 | ||||||
IQVIA Holdings, Inc. * |
6,192 | 1,231,527 | ||||||
J M Smucker Co. |
3,440 | 541,353 | ||||||
Jazz Pharmaceuticals PLC * |
2,072 | 303,196 | ||||||
Kellogg Co. |
8,508 | 569,696 | ||||||
Kroger Co. |
21,884 | 1,080,413 | ||||||
Laboratory Corp. of America Holdings |
2,955 | 677,936 | ||||||
Lamb Weston Holdings, Inc. |
4,809 | 502,637 | ||||||
ManpowerGroup, Inc. |
1,636 | 135,019 | ||||||
Maravai LifeSciences Holdings, Inc. Class A * |
3,574 | 50,072 | ||||||
MarketAxess Holdings, Inc. |
1,239 | 484,808 | ||||||
Masimo Corp. * |
1,598 | 294,895 | ||||||
McCormick & Co., Inc. |
8,365 | 696,052 | ||||||
Mirati Therapeutics, Inc. * |
1,453 | 54,023 | ||||||
Mister Car Wash, Inc. * |
3,163 | 27,265 | ||||||
Molina Healthcare, Inc. * |
1,911 | 511,173 | ||||||
Molson Coors Beverage Co. Class B |
5,882 | 303,982 | ||||||
Morningstar, Inc. |
859 | 174,403 | ||||||
Natera, Inc. * |
3,179 | 176,498 | ||||||
Neurocrine Biosciences, Inc. * |
3,216 | 325,524 | ||||||
Novavax, Inc. * |
3,335 | 23,112 | ||||||
Novocure Ltd. * |
3,363 | 202,251 | ||||||
Oak Street Health, Inc. * |
3,792 | 146,675 | ||||||
Olaplex Holdings, Inc. * |
5,197 | 22,191 | ||||||
Organon & Co. |
8,695 | 204,506 | ||||||
Paylocity Holding Corp. * |
1,358 | 269,943 | ||||||
Penumbra, Inc. * |
1,196 | 333,313 | ||||||
Performance Food Group Co. * |
5,118 | 308,820 | ||||||
PerkinElmer, Inc. |
4,209 | 560,891 | ||||||
Perrigo Co. PLC |
4,635 | 166,257 | ||||||
Pilgrims Pride Corp. * |
1,515 | 35,118 | ||||||
Post Holdings, Inc. * |
1,863 | 167,428 | ||||||
Premier, Inc. Class A |
3,832 | 124,042 | ||||||
QIAGEN NV * |
7,583 | 348,287 | ||||||
Quanta Services, Inc. |
4,748 | 791,207 | ||||||
Quest Diagnostics, Inc. |
3,692 | 522,344 | ||||||
QuidelOrtho Corp. * |
1,587 | 141,386 | ||||||
Repligen Corp. * |
1,854 | 312,139 | ||||||
ResMed, Inc. |
4,822 | 1,055,970 | ||||||
Reynolds Consumer Products, Inc. |
1,768 | 48,620 | ||||||
Ritchie Bros Auctioneers, Inc. (Canada) |
2,288 | 128,792 | ||||||
Robert Half International, Inc. |
3,565 | 287,232 | ||||||
Rollins, Inc. |
7,796 | 292,584 | ||||||
Royalty Pharma PLC Class A |
12,410 | 447,132 | ||||||
Sarepta Therapeutics, Inc. * |
2,814 | 387,854 | ||||||
Seaboard Corp. |
8 | 30,160 | ||||||
Seagen, Inc. * |
4,536 | 918,404 | ||||||
Service Corp. International |
5,010 | 344,588 | ||||||
Shift4 Payments, Inc. Class A * |
1,643 | 124,539 | ||||||
Sotera Health Co. * |
3,217 | 57,616 | ||||||
Spectrum Brands Holdings, Inc. |
1,297 | 85,887 | ||||||
STERIS PLC |
3,330 | 636,962 | ||||||
Syneos Health, Inc. * |
3,335 | 118,793 |
Shares |
Value |
|||||||
Tandem Diabetes Care, Inc. * |
2,077 | $84,347 | ||||||
Teladoc Health, Inc. * |
5,227 | 135,379 | ||||||
Teleflex, Inc. |
1,566 | 396,683 | ||||||
Tenet Healthcare Corp. * |
3,460 | 205,593 | ||||||
Toast, Inc. Class A * |
8,299 | 147,307 | ||||||
TransUnion |
6,421 | 399,001 | ||||||
Tyson Foods, Inc. Class A |
9,284 | 550,727 | ||||||
U-Haul Holding Co. |
3,014 | 159,225 | ||||||
Ultragenyx Pharmaceutical, Inc. * |
2,174 | 87,177 | ||||||
United Rentals, Inc. |
2,330 | 922,121 | ||||||
United Therapeutics Corp. * |
1,494 | 334,596 | ||||||
Universal Health Services, Inc. Class B |
2,097 | 266,529 | ||||||
US Foods Holding Corp. * |
6,831 | 252,337 | ||||||
Verisk Analytics, Inc. |
5,184 | 994,602 | ||||||
Viatris, Inc. |
40,433 | 388,965 | ||||||
Waters Corp. * |
1,971 | 610,281 | ||||||
West Pharmaceutical Services, Inc. |
2,471 | 856,127 | ||||||
WEX, Inc. * |
1,417 | 260,572 | ||||||
WillScot Mobile Mini Holdings Corp. * |
6,821 | 319,768 | ||||||
Zimmer Biomet Holdings, Inc. |
7,001 | 904,529 | ||||||
|
|
|||||||
58,770,688 | ||||||||
|
|
|||||||
Energy - 5.2% |
| |||||||
Antero Midstream Corp. |
10,944 | 114,802 | ||||||
Antero Resources Corp. * |
9,231 | 213,144 | ||||||
APA Corp. |
10,718 | 386,491 | ||||||
Baker Hughes Co. |
31,430 | 907,070 | ||||||
Cheniere Energy, Inc. |
8,307 | 1,309,183 | ||||||
Chesapeake Energy Corp. |
4,069 | 309,407 | ||||||
Coterra Energy, Inc. |
26,188 | 642,653 | ||||||
Devon Energy Corp. |
21,708 | 1,098,642 | ||||||
Diamondback Energy, Inc. |
5,975 | 807,641 | ||||||
DTE Midstream LLC * |
3,352 | 165,488 | ||||||
Enphase Energy, Inc. * |
4,368 | 918,503 | ||||||
Enviva, Inc. |
984 | 28,418 | ||||||
EQT Corp. |
12,309 | 392,780 | ||||||
First Solar, Inc. * |
3,544 | 770,820 | ||||||
Halliburton Co. |
29,985 | 948,725 | ||||||
Hess Corp. |
9,398 | 1,243,731 | ||||||
HF Sinclair Corp. |
4,585 | 221,822 | ||||||
Marathon Oil Corp. |
21,125 | 506,155 | ||||||
New Fortress Energy, Inc. |
1,701 | 50,060 | ||||||
NOV, Inc. |
13,266 | 245,554 | ||||||
ONEOK, Inc. |
14,835 | 942,616 | ||||||
Ovintiv, Inc. |
8,258 | 297,949 | ||||||
PDC Energy, Inc. |
3,017 | 193,631 | ||||||
Phillips 66 |
15,557 | 1,577,169 | ||||||
Plug Power, Inc. * |
16,907 | 198,150 | ||||||
Range Resources Corp. |
8,066 | 213,507 | ||||||
Southwestern Energy Co. * |
37,741 | 188,705 | ||||||
Sunrun, Inc. * |
6,780 | 136,617 | ||||||
Targa Resources Corp. |
7,539 | 549,970 | ||||||
Texas Pacific Land Corp. |
192 | 326,596 | ||||||
Vitesse Energy, Inc. |
1,023 | 19,468 | ||||||
Williams Cos., Inc. |
40,652 | 1,213,869 | ||||||
|
|
|||||||
17,139,336 | ||||||||
|
|
|||||||
Financial - 18.4% |
| |||||||
Affiliated Managers Group, Inc. |
1,286 | 183,152 | ||||||
Aflac, Inc. |
20,363 | 1,313,821 | ||||||
AGNC Investment Corp. REIT |
18,571 | 187,196 | ||||||
Air Lease Corp. |
3,382 | 133,149 | ||||||
Alexandria Real Estate Equities, Inc. REIT |
5,733 | 720,007 | ||||||
Allstate Corp. |
8,822 | 977,566 | ||||||
Ally Financial, Inc. |
10,124 | 258,061 | ||||||
American Financial Group, Inc. |
2,269 | 275,683 | ||||||
American Homes 4 Rent Class A REIT |
10,325 | 324,721 | ||||||
Americold Realty Trust, Inc. REIT |
9,077 | 258,241 | ||||||
Ameriprise Financial, Inc. |
3,510 | 1,075,815 | ||||||
Annaly Capital Management, Inc. REIT |
15,713 | 300,275 | ||||||
Apartment Income REIT Corp. REIT |
5,142 | 184,135 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
250
PACIFIC SELECT FUND
PD MID-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Apollo Global Management, Inc. |
16,138 | $1,019,276 | ||||||
Arch Capital Group Ltd. * |
11,819 | 802,155 | ||||||
Ares Management Corp. Class A |
5,117 | 426,962 | ||||||
Arthur J Gallagher & Co. |
6,944 | 1,328,457 | ||||||
Assurant, Inc. |
1,732 | 207,961 | ||||||
Assured Guaranty Ltd. |
1,875 | 94,256 | ||||||
AvalonBay Communities, Inc. REIT |
4,661 | 783,328 | ||||||
Axis Capital Holdings Ltd. |
2,533 | 138,099 | ||||||
Bank of Hawaii Corp. |
1,273 | 66,298 | ||||||
Bank of New York Mellon Corp. |
24,516 | 1,114,007 | ||||||
Bank OZK |
3,640 | 124,488 | ||||||
Blue Owl Capital, Inc. |
13,733 | 152,162 | ||||||
BOK Financial Corp. |
945 | 79,767 | ||||||
Boston Properties, Inc. REIT |
5,282 | 285,862 | ||||||
Brighthouse Financial, Inc. * |
2,206 | 97,307 | ||||||
Brixmor Property Group, Inc. REIT |
9,709 | 208,938 | ||||||
Brown & Brown, Inc. |
7,888 | 452,929 | ||||||
Camden Property Trust REIT |
3,465 | 363,271 | ||||||
Carlyle Group, Inc. |
7,040 | 218,662 | ||||||
Cboe Global Markets, Inc. |
3,532 | 474,136 | ||||||
CBRE Group, Inc. Class A * |
10,519 | 765,888 | ||||||
Cincinnati Financial Corp. |
5,115 | 573,289 | ||||||
Citizens Financial Group, Inc. |
16,293 | 494,818 | ||||||
CNA Financial Corp. |
888 | 34,659 | ||||||
Coinbase Global, Inc. Class A * |
5,328 | 360,013 | ||||||
Columbia Banking System, Inc. |
6,909 | 147,991 | ||||||
Comerica, Inc. |
4,252 | 184,622 | ||||||
Commerce Bancshares, Inc. |
3,859 | 225,173 | ||||||
Cousins Properties, Inc. REIT |
4,916 | 105,104 | ||||||
Credit Acceptance Corp. * |
216 | 94,185 | ||||||
CubeSmart REIT |
7,474 | 345,448 | ||||||
Cullen/Frost Bankers, Inc. |
1,987 | 209,311 | ||||||
Discover Financial Services |
8,901 | 879,775 | ||||||
Douglas Emmett, Inc. REIT |
5,502 | 67,840 | ||||||
East West Bancorp, Inc. |
4,771 | 264,790 | ||||||
EastGroup Properties, Inc. REIT |
1,397 | 230,952 | ||||||
EPR Properties REIT |
2,410 | 91,821 | ||||||
Equitable Holdings, Inc. |
11,999 | 304,655 | ||||||
Equity LifeStyle Properties, Inc. REIT |
5,926 | 397,812 | ||||||
Equity Residential REIT |
12,358 | 741,480 | ||||||
Erie Indemnity Co. Class A |
816 | 189,035 | ||||||
Essex Property Trust, Inc. REIT |
2,144 | 448,396 | ||||||
Evercore, Inc. Class A |
1,187 | 136,956 | ||||||
Everest Re Group Ltd. |
1,298 | 464,710 | ||||||
Extra Space Storage, Inc. REIT |
4,422 | 720,476 | ||||||
F&G Annuities & Life, Inc. |
763 | 13,826 | ||||||
Federal Realty Investment Trust REIT |
2,713 | 268,126 | ||||||
Fidelity National Financial, Inc. |
8,456 | 295,368 | ||||||
Fifth Third Bancorp |
22,737 | 605,714 | ||||||
First American Financial Corp. |
3,284 | 182,787 | ||||||
First Citizens BancShares, Inc. Class A |
358 | 348,370 | ||||||
First Hawaiian, Inc. |
4,158 | 85,779 | ||||||
First Horizon Corp. |
17,226 | 306,278 | ||||||
First Industrial Realty Trust, Inc. REIT |
4,469 | 237,751 | ||||||
First Republic Bank |
6,430 | 89,956 | ||||||
FNB Corp. |
11,650 | 135,140 | ||||||
Franklin Resources, Inc. |
9,289 | 250,246 | ||||||
Gaming & Leisure Properties, Inc. REIT |
8,146 | 424,081 | ||||||
Globe Life, Inc. |
2,999 | 329,950 | ||||||
Hanover Insurance Group, Inc. |
1,228 | 157,798 | ||||||
Hartford Financial Services Group, Inc. |
10,595 | 738,366 | ||||||
Healthcare Realty Trust, Inc. REIT |
12,819 | 247,791 | ||||||
Healthpeak Properties, Inc. REIT |
18,234 | 400,601 | ||||||
Highwoods Properties, Inc. REIT |
3,381 | 78,405 | ||||||
Host Hotels & Resorts, Inc. REIT |
23,642 | 389,857 | ||||||
Howard Hughes Corp. * |
1,192 | 95,360 | ||||||
Hudson Pacific Properties, Inc. REIT |
4,478 | 29,779 | ||||||
Huntington Bancshares, Inc. |
47,889 | 536,357 | ||||||
Interactive Brokers Group, Inc. Class A |
3,144 | 259,569 | ||||||
Invesco Ltd. |
12,155 | 199,342 | ||||||
Invitation Homes, Inc. REIT |
20,364 | 635,968 | ||||||
Iron Mountain, Inc. REIT |
9,632 | 509,629 |
Shares |
Value |
|||||||
Janus Henderson Group PLC |
4,428 | $117,962 | ||||||
JBG SMITH Properties REIT |
3,478 | 52,379 | ||||||
Jefferies Financial Group, Inc. |
6,440 | 204,406 | ||||||
Jones Lang LaSalle, Inc. * |
1,617 | 235,257 | ||||||
Kemper Corp. |
2,067 | 112,982 | ||||||
KeyCorp |
31,045 | 388,683 | ||||||
Kilroy Realty Corp. REIT |
3,783 | 122,569 | ||||||
Kimco Realty Corp. REIT |
20,180 | 394,115 | ||||||
KKR & Co., Inc. |
19,087 | 1,002,449 | ||||||
Lamar Advertising Co. Class A REIT |
2,913 | 290,980 | ||||||
Lazard Ltd. Class A |
2,694 | 89,198 | ||||||
Life Storage, Inc. REIT |
2,814 | 368,887 | ||||||
Lincoln National Corp. |
5,523 | 124,102 | ||||||
Loews Corp. |
6,501 | 377,188 | ||||||
LPL Financial Holdings, Inc. |
2,656 | 537,574 | ||||||
M&T Bank Corp. |
5,737 | 685,973 | ||||||
Markel Corp. * |
441 | 563,338 | ||||||
Medical Properties Trust, Inc. REIT |
19,332 | 158,909 | ||||||
MGIC Investment Corp. |
9,613 | 129,006 | ||||||
Mid-America Apartment Communities, Inc. REIT |
3,831 | 578,634 | ||||||
Nasdaq, Inc. |
11,473 | 627,229 | ||||||
National Retail Properties, Inc. REIT |
6,109 | 269,712 | ||||||
National Storage Affiliates Trust REIT |
2,763 | 115,438 | ||||||
New York Community Bancorp, Inc. |
21,788 | 196,963 | ||||||
Northern Trust Corp. |
6,859 | 604,484 | ||||||
Old Republic International Corp. |
9,479 | 236,691 | ||||||
Omega Healthcare Investors, Inc. REIT |
7,989 | 218,978 | ||||||
OneMain Holdings, Inc. |
3,736 | 138,531 | ||||||
PacWest Bancorp |
3,783 | 36,809 | ||||||
Park Hotels & Resorts, Inc. REIT |
7,255 | 89,672 | ||||||
Pinnacle Financial Partners, Inc. |
2,439 | 134,535 | ||||||
Popular, Inc. |
2,292 | 131,584 | ||||||
Primerica, Inc. |
1,193 | 205,482 | ||||||
Principal Financial Group, Inc. |
8,080 | 600,506 | ||||||
Prosperity Bancshares, Inc. |
2,998 | 184,437 | ||||||
Prudential Financial, Inc. |
12,290 | 1,016,875 | ||||||
Raymond James Financial, Inc. |
6,496 | 605,882 | ||||||
Rayonier, Inc. REIT |
5,032 | 167,364 | ||||||
Realty Income Corp. REIT |
20,946 | 1,326,301 | ||||||
Regency Centers Corp. REIT |
5,740 | 351,173 | ||||||
Regions Financial Corp. |
31,190 | 578,886 | ||||||
Reinsurance Group of America, Inc. |
2,251 | 298,843 | ||||||
RenaissanceRe Holdings Ltd. (Bermuda) |
1,450 | 290,493 | ||||||
Rexford Industrial Realty, Inc. REIT |
6,525 | 389,216 | ||||||
Rithm Capital Corp. REIT |
14,092 | 112,736 | ||||||
Rocket Cos., Inc. Class A * |
3,693 | 33,459 | ||||||
Ryan Specialty Holdings, Inc. * |
2,677 | 107,722 | ||||||
SBA Communications Corp. REIT |
3,559 | 929,148 | ||||||
SEI Investments Co. |
3,347 | 192,620 | ||||||
Simon Property Group, Inc. REIT |
10,887 | 1,219,017 | ||||||
SL Green Realty Corp. REIT |
2,084 | 49,016 | ||||||
SLM Corp. |
7,795 | 96,580 | ||||||
SoFi Technologies, Inc. * |
27,902 | 169,365 | ||||||
Spirit Realty Capital, Inc. REIT |
4,767 | 189,917 | ||||||
Starwood Property Trust, Inc. REIT |
9,507 | 168,179 | ||||||
State Street Corp. |
11,640 | 881,032 | ||||||
Stifel Financial Corp. |
3,324 | 196,415 | ||||||
Sun Communities, Inc. REIT |
4,059 | 571,832 | ||||||
Synchrony Financial |
14,533 | 422,620 | ||||||
Synovus Financial Corp. |
4,686 | 144,469 | ||||||
T Rowe Price Group, Inc. |
7,342 | 828,912 | ||||||
TFS Financial Corp. |
1,778 | 22,456 | ||||||
Tradeweb Markets, Inc. Class A |
3,626 | 286,526 | ||||||
UDR, Inc. REIT |
10,938 | 449,114 | ||||||
Unum Group |
6,700 | 265,052 | ||||||
Upstart Holdings, Inc. * |
2,295 | 36,468 | ||||||
UWM Holdings Corp. |
2,763 | 13,566 | ||||||
Ventas, Inc. REIT |
13,323 | 577,552 | ||||||
VICI Properties, Inc. REIT |
33,459 | 1,091,433 | ||||||
Virtu Financial, Inc. Class A |
3,071 | 58,042 | ||||||
Vornado Realty Trust REIT |
5,743 | 88,270 | ||||||
Voya Financial, Inc. |
3,314 | 236,818 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
251
PACIFIC SELECT FUND
PD MID-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
W R Berkley Corp. |
6,869 | $427,664 | ||||||
Webster Financial Corp. |
5,865 | 231,198 | ||||||
Welltower, Inc. REIT |
15,788 | 1,131,842 | ||||||
Western Alliance Bancorp |
3,442 | 122,329 | ||||||
Western Union Co. |
10,837 | 120,833 | ||||||
WeWork, Inc. Class A * |
5,435 | 4,225 | ||||||
Weyerhaeuser Co. REIT |
24,557 | 739,902 | ||||||
White Mountains Insurance Group Ltd. |
81 | 111,577 | ||||||
Willis Towers Watson PLC |
3,592 | 834,709 | ||||||
Wintrust Financial Corp. |
2,077 | 151,517 | ||||||
WP Carey, Inc. REIT |
6,966 | 539,517 | ||||||
Zions Bancorp NA |
5,098 | 152,583 | ||||||
|
|
|||||||
60,318,443 | ||||||||
|
|
|||||||
Industrial - 14.5% |
| |||||||
Acuity Brands, Inc. |
1,043 | 190,587 | ||||||
Advanced Drainage Systems, Inc. |
2,143 | 180,462 | ||||||
AECOM |
4,399 | 370,924 | ||||||
AGCO Corp. |
2,097 | 283,514 | ||||||
Agilent Technologies, Inc. |
9,873 | 1,365,831 | ||||||
Allegion PLC |
2,942 | 314,000 | ||||||
Amcor PLC |
49,486 | 563,151 | ||||||
AMETEK, Inc. |
7,690 | 1,117,588 | ||||||
Amphenol Corp. Class A |
19,546 | 1,597,299 | ||||||
AO Smith Corp. |
4,212 | 291,260 | ||||||
AptarGroup, Inc. |
2,214 | 261,673 | ||||||
Ardagh Group SA * W |
1,329 | 8,878 | ||||||
Ardagh Metal Packaging SA |
4,302 | 17,552 | ||||||
Armstrong World Industries, Inc. |
1,474 | 105,008 | ||||||
Arrow Electronics, Inc. * |
1,969 | 245,869 | ||||||
Avnet, Inc. |
2,960 | 133,792 | ||||||
Axon Enterprise, Inc. * |
2,254 | 506,812 | ||||||
AZEK Co., Inc. * |
3,621 | 85,238 | ||||||
Ball Corp. |
10,291 | 567,137 | ||||||
Berry Global Group, Inc. |
4,124 | 242,904 | ||||||
Builders FirstSource, Inc. * |
4,852 | 430,761 | ||||||
BWX Technologies, Inc. |
2,972 | 187,355 | ||||||
Carlisle Cos., Inc. |
1,716 | 387,936 | ||||||
Carrier Global Corp. |
27,893 | 1,276,105 | ||||||
CH Robinson Worldwide, Inc. |
3,874 | 384,959 | ||||||
ChargePoint Holdings, Inc. * |
8,238 | 86,252 | ||||||
Clean Harbors, Inc. * |
1,728 | 246,344 | ||||||
Cognex Corp. |
5,845 | 289,620 | ||||||
Coherent Corp. * |
3,862 | 147,065 | ||||||
Crane Co. |
1,615 | 183,302 | ||||||
Crown Holdings, Inc. |
3,867 | 319,840 | ||||||
Curtiss-Wright Corp. |
1,302 | 229,490 | ||||||
Donaldson Co., Inc. |
4,102 | 268,025 | ||||||
Dover Corp. |
4,674 | 710,168 | ||||||
Eagle Materials, Inc. |
1,234 | 181,089 | ||||||
Esab Corp. |
1,845 | 108,984 | ||||||
Expeditors International of Washington, Inc. |
5,293 | 582,865 | ||||||
Flowserve Corp. |
4,238 | 144,092 | ||||||
Fortive Corp. |
11,816 | 805,497 | ||||||
Fortune Brands Innovations, Inc. |
4,321 | 253,772 | ||||||
Garmin Ltd. |
5,144 | 519,132 | ||||||
Gates Industrial Corp. PLC * |
3,512 | 48,782 | ||||||
Generac Holdings, Inc. * |
2,109 | 227,793 | ||||||
Graco, Inc. |
5,601 | 408,929 | ||||||
Graphic Packaging Holding Co. |
10,348 | 263,770 | ||||||
Hayward Holdings, Inc. * |
2,409 | 28,233 | ||||||
HEICO Corp. |
1,520 | 259,981 | ||||||
HEICO Corp. Class A |
2,641 | 358,912 | ||||||
Hexcel Corp. |
2,728 | 186,186 | ||||||
Howmet Aerospace, Inc. |
12,383 | 524,668 | ||||||
Hubbell, Inc. |
1,787 | 434,795 | ||||||
Huntington Ingalls Industries, Inc. |
1,327 | 274,716 | ||||||
IDEX Corp. |
2,535 | 585,661 | ||||||
Ingersoll Rand, Inc. |
13,556 | 788,688 | ||||||
ITT, Inc. |
2,833 | 244,488 | ||||||
Jabil, Inc. |
4,351 | 383,584 |
Shares |
Value |
|||||||
Jacobs Solutions, Inc. |
4,201 | $493,659 | ||||||
JB Hunt Transport Services, Inc. |
2,750 | 482,515 | ||||||
Keysight Technologies, Inc. * |
5,981 | 965,812 | ||||||
Kirby Corp. * |
1,943 | 135,427 | ||||||
Knight-Swift Transportation Holdings, Inc. |
5,249 | 296,988 | ||||||
Landstar System, Inc. |
1,161 | 208,121 | ||||||
Lennox International, Inc. |
1,078 | 270,880 | ||||||
Lincoln Electric Holdings, Inc. |
1,881 | 318,077 | ||||||
Littelfuse, Inc. |
787 | 210,987 | ||||||
Louisiana-Pacific Corp. |
2,313 | 125,388 | ||||||
Martin Marietta Materials, Inc. |
2,075 | 736,749 | ||||||
Masco Corp. |
7,520 | 373,894 | ||||||
MasTec, Inc. * |
2,090 | 197,380 | ||||||
Masterbrand, Inc. * |
4,160 | 33,446 | ||||||
MDU Resources Group, Inc. |
6,575 | 200,406 | ||||||
Mercury Systems, Inc. * |
1,601 | 81,843 | ||||||
Mettler-Toledo International, Inc. * |
734 | 1,123,174 | ||||||
Middleby Corp. * |
1,809 | 265,217 | ||||||
Mohawk Industries, Inc. * |
1,809 | 181,298 | ||||||
MSA Safety, Inc. |
1,273 | 169,945 | ||||||
National Instruments Corp. |
4,438 | 232,596 | ||||||
Nordson Corp. |
1,908 | 424,072 | ||||||
nVent Electric PLC |
5,600 | 240,464 | ||||||
Old Dominion Freight Line, Inc. |
3,315 | 1,129,885 | ||||||
Oshkosh Corp. |
2,254 | 187,488 | ||||||
Otis Worldwide Corp. |
13,914 | 1,174,342 | ||||||
Owens Corning |
3,138 | 300,620 | ||||||
Packaging Corp. of America |
3,045 | 422,737 | ||||||
Parker-Hannifin Corp. |
4,271 | 1,435,526 | ||||||
Pentair PLC |
5,536 | 305,975 | ||||||
Regal Rexnord Corp. |
2,186 | 307,636 | ||||||
Republic Services, Inc. |
6,882 | 930,584 | ||||||
Rockwell Automation, Inc. |
3,833 | 1,124,794 | ||||||
RXO, Inc. * |
3,697 | 72,609 | ||||||
Ryder System, Inc. |
1,581 | 141,088 | ||||||
Schneider National, Inc. Class B |
1,758 | 47,026 | ||||||
Sealed Air Corp. |
4,953 | 227,392 | ||||||
Sensata Technologies Holding PLC |
5,123 | 256,252 | ||||||
Silgan Holdings, Inc. |
2,737 | 146,895 | ||||||
Snap-on, Inc. |
1,754 | 433,045 | ||||||
Sonoco Products Co. |
3,337 | 203,557 | ||||||
Spirit AeroSystems Holdings, Inc. Class A |
3,397 | 117,298 | ||||||
Stanley Black & Decker, Inc. |
4,927 | 397,018 | ||||||
Stericycle, Inc. * |
2,983 | 130,089 | ||||||
TD SYNNEX Corp. |
1,520 | 147,121 | ||||||
Teledyne Technologies, Inc. * |
1,545 | 691,171 | ||||||
Tetra Tech, Inc. |
1,778 | 261,206 | ||||||
Textron, Inc. |
6,958 | 491,444 | ||||||
Timken Co. |
2,115 | 172,838 | ||||||
TopBuild Corp. * |
1,038 | 216,049 | ||||||
Toro Co. |
3,484 | 387,281 | ||||||
Trane Technologies PLC |
7,669 | 1,410,943 | ||||||
TransDigm Group, Inc. |
1,714 | 1,263,304 | ||||||
Trex Co., Inc. * |
3,783 | 184,119 | ||||||
Trimble, Inc. * |
8,215 | 430,630 | ||||||
Universal Display Corp. |
1,414 | 219,354 | ||||||
Valmont Industries, Inc. |
684 | 218,388 | ||||||
Vertiv Holdings Co. |
9,881 | 141,397 | ||||||
Vontier Corp. |
5,139 | 140,500 | ||||||
Vulcan Materials Co. |
4,418 | 757,952 | ||||||
Westinghouse Air Brake Technologies Corp. |
6,040 | 610,402 | ||||||
Westrock Co. |
8,589 | 261,707 | ||||||
Woodward, Inc. |
1,990 | 193,766 | ||||||
XPO, Inc. * |
3,332 | 106,291 | ||||||
Xylem, Inc. |
5,977 | 625,792 | ||||||
|
|
|||||||
47,403,167 | ||||||||
|
|
|||||||
Technology - 12.6% |
| |||||||
Akamai Technologies, Inc. * |
5,169 | 404,733 | ||||||
Allegro MicroSystems, Inc. * (Japan) |
2,157 | 103,514 | ||||||
Alteryx, Inc. Class A * |
1,954 | 114,973 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
252
PACIFIC SELECT FUND
PD MID-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Amdocs Ltd. |
3,968 | $381,047 | ||||||
ANSYS, Inc. * |
2,903 | 966,118 | ||||||
AppLovin Corp. Class A * |
7,123 | 112,187 | ||||||
Aspen Technology, Inc. * |
924 | 211,476 | ||||||
Bentley Systems, Inc. Class B |
5,712 | 245,559 | ||||||
BILL Holdings, Inc. * |
3,344 | 271,332 | ||||||
Black Knight, Inc. * |
5,197 | 299,139 | ||||||
Broadridge Financial Solutions, Inc. |
3,893 | 570,597 | ||||||
CACI International, Inc. Class A * |
787 | 233,172 | ||||||
Cadence Design Systems, Inc. * |
9,105 | 1,912,870 | ||||||
CCC Intelligent Solutions Holdings, Inc. * |
5,562 | 49,891 | ||||||
Ceridian HCM Holding, Inc. * |
4,587 | 335,860 | ||||||
Cirrus Logic, Inc. * |
1,784 | 195,134 | ||||||
Cloudflare, Inc. Class A * |
9,437 | 581,885 | ||||||
Concentrix Corp. |
1,461 | 177,585 | ||||||
Confluent, Inc. Class A * |
4,043 | 97,315 | ||||||
Crowdstrike Holdings, Inc. Class A * |
7,188 | 986,625 | ||||||
Datadog, Inc. Class A * |
8,860 | 643,768 | ||||||
Definitive Healthcare Corp. * |
1,330 | 13,739 | ||||||
Dell Technologies, Inc. Class C |
7,937 | 319,147 | ||||||
DocuSign, Inc. * |
6,592 | 384,314 | ||||||
DoubleVerify Holdings, Inc. * |
2,795 | 84,269 | ||||||
Doximity, Inc. Class A * |
3,638 | 117,798 | ||||||
Dropbox, Inc. Class A * |
9,190 | 198,688 | ||||||
DXC Technology Co. * |
7,888 | 201,617 | ||||||
Dynatrace, Inc. * |
7,281 | 307,986 | ||||||
Elastic NV * |
2,519 | 145,850 | ||||||
Electronic Arts, Inc. |
9,122 | 1,098,745 | ||||||
Entegris, Inc. |
4,952 | 406,114 | ||||||
EPAM Systems, Inc. * |
1,831 | 547,469 | ||||||
Fair Isaac Corp. * |
810 | 569,179 | ||||||
Five9, Inc. * |
2,279 | 164,749 | ||||||
Fortinet, Inc. * |
21,536 | 1,431,283 | ||||||
Genpact Ltd. |
6,018 | 278,152 | ||||||
GLOBALFOUNDRIES, Inc. * |
2,064 | 148,980 | ||||||
Globant SA * |
1,325 | 217,313 | ||||||
Guidewire Software, Inc. * |
2,787 | 228,673 | ||||||
Hewlett Packard Enterprise Co. |
42,894 | 683,301 | ||||||
HP, Inc. |
32,794 | 962,504 | ||||||
HubSpot, Inc. * |
1,545 | 662,419 | ||||||
Informatica, Inc. Class A * |
1,151 | 18,876 | ||||||
IPG Photonics Corp. * |
1,061 | 130,832 | ||||||
Jack Henry & Associates, Inc. |
2,426 | 365,647 | ||||||
Jamf Holding Corp. * |
2,153 | 41,811 | ||||||
KBR, Inc. |
4,616 | 254,111 | ||||||
Kyndryl Holdings, Inc. * |
6,652 | 98,184 | ||||||
Lattice Semiconductor Corp. * |
4,527 | 432,329 | ||||||
Leidos Holdings, Inc. |
4,545 | 418,413 | ||||||
Lumentum Holdings, Inc. * |
2,217 | 119,740 | ||||||
Manhattan Associates, Inc. * |
2,084 | 322,707 | ||||||
Microchip Technology, Inc. |
17,765 | 1,488,352 | ||||||
MKS Instruments, Inc. |
1,971 | 174,670 | ||||||
MongoDB, Inc. * |
2,213 | 515,895 | ||||||
Monolithic Power Systems, Inc. |
1,530 | 765,826 | ||||||
MSCI, Inc. |
2,593 | 1,451,276 | ||||||
nCino, Inc. * |
2,267 | 56,176 | ||||||
NCR Corp. * |
4,180 | 98,606 | ||||||
NetApp, Inc. |
7,251 | 462,976 | ||||||
New Relic, Inc. * |
1,734 | 130,553 | ||||||
Nutanix, Inc. Class A * |
7,475 | 194,275 | ||||||
ON Semiconductor Corp. * |
14,479 | 1,191,911 | ||||||
Palantir Technologies, Inc. Class A * |
61,387 | 518,720 | ||||||
Paychex, Inc. |
10,766 | 1,233,676 | ||||||
Paycom Software, Inc. * |
1,708 | 519,249 | ||||||
Paycor HCM, Inc. * |
2,158 | 57,230 | ||||||
Pegasystems, Inc. |
1,346 | 65,254 | ||||||
Playtika Holding Corp. * |
2,948 | 33,195 | ||||||
Procore Technologies, Inc. * |
2,315 | 144,988 | ||||||
PTC, Inc. * |
3,553 | 455,601 | ||||||
Pure Storage, Inc. Class A * |
9,665 | 246,554 | ||||||
Qorvo, Inc. * |
3,338 | 339,041 | ||||||
RingCentral, Inc. Class A * |
2,773 | 85,048 |
Shares |
Value |
|||||||
ROBLOX Corp. Class A * |
14,929 | $671,506 | ||||||
Science Applications International Corp. |
1,789 | 192,246 | ||||||
SentinelOne, Inc. Class A * |
6,216 | 101,694 | ||||||
Skyworks Solutions, Inc. |
5,301 | 625,412 | ||||||
Smartsheet, Inc. Class A * |
4,139 | 197,844 | ||||||
Splunk, Inc. * |
5,429 | 520,533 | ||||||
SS&C Technologies Holdings, Inc. |
7,362 | 415,732 | ||||||
Synopsys, Inc. * |
5,089 | 1,965,626 | ||||||
Take-Two Interactive Software, Inc. * |
5,515 | 657,940 | ||||||
Teradata Corp. * |
3,331 | 134,173 | ||||||
Teradyne, Inc. |
5,226 | 561,847 | ||||||
Thoughtworks Holding, Inc. * |
3,591 | 26,430 | ||||||
Twilio, Inc. Class A * |
5,817 | 387,587 | ||||||
Tyler Technologies, Inc. * |
1,373 | 486,921 | ||||||
UiPath, Inc. Class A * |
12,807 | 224,891 | ||||||
Unity Software, Inc. * |
8,009 | 259,812 | ||||||
Veeva Systems, Inc. Class A * |
4,650 | 854,624 | ||||||
Western Digital Corp. * |
10,609 | 399,641 | ||||||
Wolfspeed, Inc. * |
4,156 | 269,932 | ||||||
Zebra Technologies Corp. Class A * |
1,722 | 547,596 | ||||||
Zoom Video Communications, Inc. Class A * |
8,199 | 605,414 | ||||||
ZoomInfo Technologies, Inc. * |
9,333 | 230,618 | ||||||
Zscaler, Inc. * |
2,834 | 331,096 | ||||||
|
|
|||||||
41,167,906 | ||||||||
|
|
|||||||
Utilities - 5.6% |
| |||||||
AES Corp. |
22,262 | 536,069 | ||||||
Alliant Energy Corp. |
8,364 | 446,638 | ||||||
Ameren Corp. |
8,589 | 742,004 | ||||||
American Water Works Co., Inc. |
6,439 | 943,249 | ||||||
Atmos Energy Corp. |
4,742 | 532,811 | ||||||
Avangrid, Inc. |
2,307 | 92,003 | ||||||
Brookfield Renewable Corp. Class A |
4,156 | 145,252 | ||||||
CenterPoint Energy, Inc. |
21,027 | 619,455 | ||||||
CMS Energy Corp. |
9,662 | 593,054 | ||||||
Consolidated Edison, Inc. |
11,844 | 1,133,115 | ||||||
Constellation Energy Corp. |
10,898 | 855,493 | ||||||
DTE Energy Co. |
6,438 | 705,219 | ||||||
Edison International |
12,548 | 885,763 | ||||||
Entergy Corp. |
6,775 | 729,938 | ||||||
Essential Utilities, Inc. |
7,749 | 338,244 | ||||||
Evergy, Inc. |
7,418 | 453,388 | ||||||
Eversource Energy |
11,501 | 900,068 | ||||||
FirstEnergy Corp. |
18,122 | 725,967 | ||||||
Hawaiian Electric Industries, Inc. |
3,541 | 135,974 | ||||||
IDACORP, Inc. |
1,724 | 186,761 | ||||||
National Fuel Gas Co. |
3,020 | 174,375 | ||||||
NiSource, Inc. |
13,553 | 378,942 | ||||||
NRG Energy, Inc. |
7,199 | 246,854 | ||||||
OGE Energy Corp. |
6,757 | 254,469 | ||||||
PG&E Corp. * |
54,946 | 888,477 | ||||||
Pinnacle West Capital Corp. |
3,793 | 300,557 | ||||||
PPL Corp. |
24,595 | 683,495 | ||||||
Public Service Enterprise Group, Inc. |
16,618 | 1,037,794 | ||||||
UGI Corp. |
7,077 | 245,997 | ||||||
Vistra Corp. |
13,158 | 315,792 | ||||||
WEC Energy Group, Inc. |
10,532 | 998,328 | ||||||
Xcel Energy, Inc. |
18,202 | 1,227,543 | ||||||
|
|
|||||||
18,453,088 | ||||||||
|
|
|||||||
Total Common Stocks |
322,061,354 | |||||||
|
|
|||||||
EXCHANGE-TRADED FUND - 0.9% |
| |||||||
iShares Russell Mid-Cap |
43,121 | 3,015,020 | ||||||
|
|
|||||||
Total Exchange-Traded Fund |
3,015,020 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
253
PACIFIC SELECT FUND
PD MID-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 0.7% |
| |||||||
Repurchase Agreement - 0.7% |
| |||||||
Fixed Income Clearing Corp. |
$2,346,989 | $2,346,989 | ||||||
|
|
|||||||
Total Short-Term Investment |
2,346,989 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.9% |
327,423,363 | |||||||
|
|
|||||||
DERIVATIVES - 0.0% |
131,599 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.1% |
314,624 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$327,869,586 | |||||||
|
|
Notes to Schedule of Investments
(a) | An investment with a value of $8,878 or less than 0.1% of the Funds net assets was valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or to the Board of Trustees. |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
254
PACIFIC SELECT FUND
PD MID-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||||
S&P 500 E-Mini Index |
06/23 | 5 | $981,557 | $1,034,438 | $52,881 | |||||||||||||||
S&P MID 400 E-Mini Index |
06/23 | 8 | 1,945,042 | 2,023,760 | 78,718 | |||||||||||||||
|
|
|||||||||||||||||||
Total Futures Contracts |
|
$131,599 | ||||||||||||||||||
|
|
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Common Stocks |
|||||||||||||||||
Basic Materials |
$12,810,547 | $12,810,547 | $- | $- | ||||||||||||||
Communications |
19,884,152 | 19,884,152 | - | - | ||||||||||||||
Consumer, Cyclical |
46,114,027 | 46,114,027 | - | - | ||||||||||||||
Consumer, Non-Cyclical |
58,770,688 | 58,770,688 | - | - | ||||||||||||||
Energy |
17,139,336 | 17,139,336 | - | - | ||||||||||||||
Financial |
60,318,443 | 60,318,443 | - | - | ||||||||||||||
Industrial |
47,403,167 | 47,394,289 | 8,878 | - | ||||||||||||||
Technology |
41,167,906 | 41,167,906 | - | - | ||||||||||||||
Utilities |
18,453,088 | 18,453,088 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
322,061,354 | 322,052,476 | 8,878 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Exchange-Traded Fund |
3,015,020 | 3,015,020 | - | - | ||||||||||||||
Short-Term Investment |
2,346,989 | - | 2,346,989 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
131,599 | 131,599 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$327,554,962 | $325,199,095 | $2,355,867 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
255
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
RIGHTS - 0.0% |
| |||||||
Consumer, Non-Cyclical - 0.0% |
| |||||||
Contra Aduro Biotechnologies, Inc. - Contingent Value Rights * W ± |
758 | $ 1,924 | ||||||
Gtx, Inc. - Contingent Value Rights * W ± |
33 | 34 | ||||||
OmniAb, Inc. $12.50 - Earn Out Shares * W ± |
40 | - | ||||||
OmniAb, Inc. $15.00 - Earn Out Shares * W ± |
40 | - | ||||||
|
|
|||||||
1,958 | ||||||||
|
|
|||||||
Total Rights |
1,958 | |||||||
|
|
|||||||
COMMON STOCKS - 98.3% |
| |||||||
Basic Materials - 4.2% |
| |||||||
5E Advanced Materials, Inc. * |
2,806 | 15,209 | ||||||
AdvanSix, Inc. |
645 | 24,684 | ||||||
American Vanguard Corp. |
1,744 | 38,159 | ||||||
Amyris, Inc. * |
1,358 | 1,847 | ||||||
ATI, Inc. * |
8,944 | 352,930 | ||||||
Avient Corp. |
4,821 | 198,432 | ||||||
Balchem Corp. |
2,296 | 290,398 | ||||||
Cabot Corp. |
4,007 | 307,097 | ||||||
Century Aluminum Co. * |
3,692 | 36,920 | ||||||
Codexis, Inc. * |
4,410 | 18,257 | ||||||
Commercial Metals Co. |
1,426 | 69,731 | ||||||
Compass Minerals International, Inc. |
2,537 | 86,994 | ||||||
Constellium SE * |
4,954 | 75,697 | ||||||
Dakota Gold Corp. * |
3,713 | 13,441 | ||||||
Diversey Holdings Ltd. * |
5,554 | 44,932 | ||||||
Energy Fuels, Inc. * |
9,211 | 51,397 | ||||||
Hawkins, Inc. |
853 | 37,344 | ||||||
HB Fuller Co. |
3,348 | 229,171 | ||||||
Hycroft Mining Holding Corp. * |
7,248 | 3,134 | ||||||
Ingevity Corp. * |
2,707 | 193,605 | ||||||
Innospec, Inc. |
1,508 | 154,826 | ||||||
Ivanhoe Electric, Inc. * |
1,581 | 19,209 | ||||||
Kaiser Aluminum Corp. |
1,132 | 84,481 | ||||||
Kronos Worldwide, Inc. |
1,597 | 14,708 | ||||||
Lightwave Logic, Inc. * |
8,034 | 42,018 | ||||||
Livent Corp. * |
11,678 | 253,646 | ||||||
Mativ Holdings, Inc. |
326 | 6,999 | ||||||
Novagold Resources, Inc. * |
16,646 | 103,538 | ||||||
Origin Materials, Inc. * |
4,667 | 19,928 | ||||||
Orion Engineered Carbons SA |
4,386 | 114,431 | ||||||
Piedmont Lithium, Inc. * |
343 | 20,597 | ||||||
Quaker Chemical Corp. |
651 | 128,866 | ||||||
Rogers Corp. * |
1,368 | 223,572 | ||||||
Schnitzer Steel Industries, Inc. Class A |
218 | 6,780 | ||||||
Sensient Technologies Corp. |
2,886 | 220,952 | ||||||
Stepan Co. |
182 | 18,752 | ||||||
Sylvamo Corp. |
2,346 | 108,526 | ||||||
Terawulf, Inc. * |
4,103 | 3,848 | ||||||
Ur-Energy, Inc. * |
13,844 | 14,675 | ||||||
Uranium Energy Corp. * |
26,195 | 75,442 | ||||||
US Lime & Minerals, Inc. |
118 | 18,017 | ||||||
|
|
|||||||
3,743,190 | ||||||||
|
|
|||||||
Communications - 4.5% |
| |||||||
A10 Networks, Inc. |
3,657 | 56,647 | ||||||
AdTheorent Holding Co., Inc. * |
3,626 | 6,128 | ||||||
ADTRAN Holdings, Inc. |
4,988 | 79,110 | ||||||
Allbirds, Inc. Class A * |
1,424 | 1,709 | ||||||
Anterix, Inc. * |
421 | 13,910 | ||||||
Arena Group Holdings, Inc. * |
488 | 2,074 |
Shares |
Value |
|||||||
Boston Omaha Corp. Class A * |
81 | $ 1,917 | ||||||
Calix, Inc. * |
3,269 | 175,186 | ||||||
Cambium Networks Corp. * |
843 | 14,938 | ||||||
Cargurus, Inc. * |
7,385 | 137,952 | ||||||
CarParts.com, Inc. * |
3,545 | 18,930 | ||||||
Cars.com, Inc. * |
640 | 12,352 | ||||||
Casa Systems, Inc. * |
1,956 | 2,484 | ||||||
Clearfield, Inc. * |
912 | 42,481 | ||||||
Cogent Communications Holdings, Inc. |
1,682 | 107,177 | ||||||
CommScope Holding Co., Inc. * |
15,049 | 95,862 | ||||||
Consolidated Communications Holdings, Inc. * |
375 | 968 | ||||||
Couchbase, Inc. * |
2,026 | 28,486 | ||||||
Credo Technology Group Holding Ltd. * |
6,993 | 65,874 | ||||||
Cyxtera Technologies, Inc. * |
2,153 | 658 | ||||||
DHI Group, Inc. * |
2,764 | 10,724 | ||||||
DigitalBridge Group, Inc. |
10,223 | 122,574 | ||||||
DZS, Inc. * |
1,471 | 11,606 | ||||||
Edgio, Inc. * |
9,928 | 7,854 | ||||||
Entravision Communications Corp. Class A |
2,995 | 18,120 | ||||||
ePlus, Inc. * |
1,458 | 71,500 | ||||||
Eventbrite, Inc. Class A * |
4,873 | 41,810 | ||||||
EverQuote, Inc. Class A * |
1,414 | 19,655 | ||||||
Extreme Networks, Inc. * |
8,963 | 171,373 | ||||||
Figs, Inc. Class A * |
7,714 | 47,750 | ||||||
Focus Universal, Inc. * |
2,484 | 6,210 | ||||||
Gambling.com Group Ltd. * |
750 | 7,432 | ||||||
Globalstar, Inc. * |
40,985 | 47,543 | ||||||
Gogo, Inc. * |
237 | 3,437 | ||||||
Gray Television, Inc. |
2,609 | 22,750 | ||||||
Groupon, Inc. * |
117 | 493 | ||||||
Harmonic, Inc. * |
6,786 | 99,008 | ||||||
HealthStream, Inc. * |
112 | 3,035 | ||||||
Hims & Hers Health, Inc. * |
7,538 | 74,777 | ||||||
IDT Corp. Class B * |
787 | 26,821 | ||||||
Infinera Corp. * |
14,137 | 109,703 | ||||||
Innovid Corp. * |
5,714 | 8,057 | ||||||
Inseego Corp. * |
1,096 | 638 | ||||||
InterDigital, Inc. |
792 | 57,737 | ||||||
Iridium Communications, Inc. |
9,009 | 557,927 | ||||||
Liquidity Services, Inc. * |
854 | 11,247 | ||||||
Lulus Fashion Lounge Holdings, Inc. * |
953 | 2,268 | ||||||
Marqeta, Inc. Class A * |
31,525 | 144,069 | ||||||
MediaAlpha, Inc. Class A * |
1,743 | 26,110 | ||||||
Nerdy, Inc. * |
3,911 | 16,348 | ||||||
Ondas Holdings, Inc. * |
2,127 | 2,297 | ||||||
Ooma, Inc. * |
1,719 | 21,505 | ||||||
Open Lending Corp. Class A * |
7,558 | 53,208 | ||||||
OptimizeRx Corp. * |
1,186 | 17,351 | ||||||
Perficient, Inc. * |
2,469 | 178,237 | ||||||
Planet Labs PBC * |
12,128 | 47,663 | ||||||
Q2 Holdings, Inc. * |
4,031 | 99,243 | ||||||
QuinStreet, Inc. * |
182 | 2,888 | ||||||
Quotient Technology, Inc. * |
913 | 2,995 | ||||||
RealReal, Inc. * |
801 | 1,009 | ||||||
Revolve Group, Inc. * |
3,018 | 79,373 | ||||||
Rover Group, Inc. * |
6,312 | 28,593 | ||||||
Shutterstock, Inc. |
1,733 | 125,816 | ||||||
Sinclair Broadcast Group, Inc. Class A |
2,896 | 49,695 | ||||||
Squarespace, Inc. Class A * |
530 | 16,838 | ||||||
Stagwell, Inc. * |
412 | 3,057 | ||||||
Stitch Fix, Inc. Class A * |
2,375 | 12,136 | ||||||
TechTarget, Inc. * |
1,932 | 69,784 | ||||||
Thryv Holdings, Inc. * |
489 | 11,276 | ||||||
Tucows, Inc. Class A * |
706 | 13,732 | ||||||
Upwork, Inc. * |
8,932 | 101,110 | ||||||
Value Line, Inc. |
55 | 2,658 | ||||||
Viavi Solutions, Inc. * |
16,313 | 176,670 | ||||||
Vivid Seats, Inc. Class A * |
360 | 2,747 | ||||||
WideOpenWest, Inc. * |
2,225 | 23,652 | ||||||
Yelp, Inc. * |
4,894 | 150,246 | ||||||
Ziff Davis, Inc. * |
619 | 48,313 | ||||||
|
|
|||||||
3,955,511 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
256
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Consumer, Cyclical - 12.0% |
|
|||||||
Accel Entertainment, Inc. * |
3,951 | $ 35,994 | ||||||
Acushnet Holdings Corp. |
674 | 34,334 | ||||||
Aeva Technologies, Inc. * |
421 | 501 | ||||||
Allegiant Travel Co. * |
489 | 44,978 | ||||||
American Axle & Manufacturing Holdings, Inc. * |
350 | 2,734 | ||||||
Arko Corp. |
5,984 | 50,804 | ||||||
Asbury Automotive Group, Inc. * |
466 | 97,860 | ||||||
Aspen Aerogels, Inc. * |
3,581 | 26,678 | ||||||
Aterian, Inc. * |
297 | 255 | ||||||
Beacon Roofing Supply, Inc. * |
2,609 | 153,540 | ||||||
Bed Bath & Beyond, Inc. * |
5,686 | 2,430 | ||||||
Bloomin Brands, Inc. |
4,606 | 118,144 | ||||||
Blue Bird Corp. * |
1,242 | 25,374 | ||||||
Bluegreen Vacations Holding Corp. |
142 | 3,888 | ||||||
Boot Barn Holdings, Inc. * |
2,132 | 163,397 | ||||||
Brinker International, Inc. * |
2,845 | 108,110 | ||||||
Buckle, Inc. |
2,046 | 73,022 | ||||||
Build-A-Bear Workshop, Inc. |
676 | 15,710 | ||||||
Caleres, Inc. |
2,432 | 52,604 | ||||||
Camping World Holdings, Inc. Class A |
2,865 | 59,793 | ||||||
Canoo, Inc. * |
20,503 | 13,380 | ||||||
Cavco Industries, Inc. * |
628 | 199,541 | ||||||
Century Casinos, Inc. * |
1,542 | 11,303 | ||||||
Century Communities, Inc. |
160 | 10,227 | ||||||
Cepton, Inc. * |
2,201 | 1,022 | ||||||
Cheesecake Factory, Inc. |
3,524 | 123,516 | ||||||
Chicos FAS, Inc. * |
6,215 | 34,183 | ||||||
Childrens Place, Inc. * |
555 | 22,339 | ||||||
Cinemark Holdings, Inc. * |
6,320 | 93,473 | ||||||
Citi Trends, Inc. * |
25 | 476 | ||||||
Clarus Corp. |
1,383 | 13,069 | ||||||
Cracker Barrel Old Country Store, Inc. |
1,598 | 181,533 | ||||||
Crocs, Inc. * |
4,372 | 552,796 | ||||||
Dave & Busters Entertainment, Inc. * |
3,124 | 114,932 | ||||||
Dennys Corp. * |
2,848 | 31,784 | ||||||
Designer Brands, Inc. Class A |
2,566 | 22,427 | ||||||
Destination XL Group, Inc. * |
2,111 | 11,632 | ||||||
Dillards, Inc. Class A |
289 | 88,920 | ||||||
Dine Brands Global, Inc. |
928 | 62,770 | ||||||
Dorman Products, Inc. * |
1,905 | 164,325 | ||||||
Douglas Dynamics, Inc. |
1,614 | 51,470 | ||||||
Dream Finders Homes, Inc. Class A * |
1,475 | 19,544 | ||||||
Duluth Holdings, Inc. Class B * |
353 | 2,252 | ||||||
Ermenegildo Zegna NV |
935 | 12,753 | ||||||
Everi Holdings, Inc. * |
3,463 | 59,390 | ||||||
EVgo, Inc. * |
852 | 6,637 | ||||||
F45 Training Holdings, Inc. * |
3,716 | 4,311 | ||||||
First Watch Restaurant Group, Inc. * |
464 | 7,452 | ||||||
FirstCash, Inc. |
1,374 | 131,038 | ||||||
Fisker, Inc. * |
13,024 | 79,967 | ||||||
Forestar Group, Inc. * |
430 | 6,691 | ||||||
Fox Factory Holding Corp. * |
3,057 | 371,028 | ||||||
Franchise Group, Inc. |
1,739 | 47,388 | ||||||
Frontier Group Holdings, Inc. * |
2,622 | 25,801 | ||||||
Full House Resorts, Inc. * |
834 | 6,030 | ||||||
Funko, Inc. Class A * |
2,283 | 21,529 | ||||||
Gentherm, Inc. * |
2,401 | 145,068 | ||||||
Global Industrial Co. |
701 | 18,815 | ||||||
GMS, Inc. * |
3,014 | 174,480 | ||||||
Golden Entertainment, Inc. * |
1,483 | 64,525 | ||||||
Green Brick Partners, Inc. * |
521 | 18,266 | ||||||
Guess?, Inc. |
2,302 | 44,797 | ||||||
H&E Equipment Services, Inc. |
2,332 | 103,144 | ||||||
Hibbett, Inc. |
742 | 43,763 | ||||||
Hilton Grand Vacations, Inc. * |
6,189 | 274,977 | ||||||
HNI Corp. |
2,991 | 83,269 | ||||||
Holley, Inc. * |
3,863 | 10,585 |
Shares |
Value |
|||||||
Hovnanian Enterprises, Inc. Class A * |
342 | $ 23,201 | ||||||
Hudson Technologies, Inc. * |
3,039 | 26,530 | ||||||
Hyzon Motors, Inc. * |
7,505 | 6,117 | ||||||
IMAX Corp. * |
2,035 | 39,031 | ||||||
indie Semiconductor, Inc. Class A * |
7,861 | 82,934 | ||||||
Installed Building Products, Inc. |
1,715 | 195,561 | ||||||
Interface, Inc. |
3,344 | 27,153 | ||||||
International Game Technology PLC |
1,645 | 44,086 | ||||||
iRobot Corp. * |
1,748 | 76,283 | ||||||
Jack in the Box, Inc. |
200 | 17,518 | ||||||
KB Home |
993 | 39,899 | ||||||
Kontoor Brands, Inc. |
4,003 | 193,705 | ||||||
Kura Sushi USA, Inc. Class A * |
327 | 21,530 | ||||||
LCI Industries |
1,790 | 196,667 | ||||||
LGI Homes, Inc. * |
102 | 11,631 | ||||||
Liberty Media Corp. - Liberty Braves Class A * |
772 | 26,696 | ||||||
Liberty Media Corp. - Liberty Braves Class C * |
2,711 | 91,334 | ||||||
Lightning eMotors, Inc. * |
2,246 | 643 | ||||||
Lindblad Expeditions Holdings, Inc. * |
142 | 1,358 | ||||||
Lovesac Co. * |
991 | 28,640 | ||||||
Luminar Technologies, Inc. * |
18,124 | 117,625 | ||||||
M/I Homes, Inc. * |
254 | 16,025 | ||||||
Malibu Boats, Inc. Class A * |
1,497 | 84,506 | ||||||
Marine Products Corp. |
692 | 9,128 | ||||||
MarineMax, Inc. * |
96 | 2,760 | ||||||
MasterCraft Boat Holdings, Inc. * |
1,310 | 39,863 | ||||||
MDC Holdings, Inc. |
1,086 | 42,213 | ||||||
Meritage Homes Corp. |
184 | 21,484 | ||||||
Microvast Holdings, Inc. * |
7,724 | 9,578 | ||||||
Miller Industries, Inc. |
44 | 1,555 | ||||||
Monarch Casino & Resort, Inc. |
981 | 72,741 | ||||||
MRC Global, Inc. * |
5,931 | 57,649 | ||||||
Mullen Automotive, Inc. * |
74,166 | 9,738 | ||||||
Murphy USA, Inc. |
1,451 | 374,431 | ||||||
National Vision Holdings, Inc. * |
398 | 7,498 | ||||||
NEOGAMES SA * |
926 | 14,075 | ||||||
Nikola Corp. * |
22,520 | 27,249 | ||||||
Noodles & Co. * |
2,893 | 14,031 | ||||||
Nu Skin Enterprises, Inc. Class A |
1,480 | 58,179 | ||||||
ONE Group Hospitality, Inc. * |
1,655 | 13,406 | ||||||
OneSpaWorld Holdings Ltd. * |
4,904 | 58,799 | ||||||
OneWater Marine, Inc. Class A * |
136 | 3,804 | ||||||
Oxford Industries, Inc. |
760 | 80,248 | ||||||
Papa Johns International, Inc. |
1,709 | 128,055 | ||||||
Patrick Industries, Inc. |
164 | 11,285 | ||||||
PetMed Express, Inc. |
1,272 | 20,657 | ||||||
Portillos, Inc. Class A * |
2,280 | 48,724 | ||||||
PriceSmart, Inc. |
1,186 | 84,775 | ||||||
Proterra, Inc. * |
7,327 | 11,137 | ||||||
Purple Innovation, Inc. * |
198 | 523 | ||||||
RCI Hospitality Holdings, Inc. |
595 | 46,511 | ||||||
Red Rock Resorts, Inc. Class A |
1,676 | 74,699 | ||||||
Reservoir Media, Inc. * |
1,516 | 9,884 | ||||||
Rite Aid Corp. * |
2,409 | 5,396 | ||||||
Rocky Brands, Inc. |
24 | 554 | ||||||
Rush Street Interactive, Inc. * |
4,373 | 13,600 | ||||||
Ruths Hospitality Group, Inc. |
2,234 | 36,682 | ||||||
Sally Beauty Holdings, Inc. * |
7,233 | 112,690 | ||||||
SeaWorld Entertainment, Inc. * |
1,462 | 89,635 | ||||||
Shake Shack, Inc. Class A * |
2,715 | 150,655 | ||||||
Shyft Group, Inc. |
2,459 | 55,942 | ||||||
Skyline Champion Corp. * |
3,843 | 289,109 | ||||||
Sleep Number Corp. * |
688 | 20,922 | ||||||
Solid Power, Inc. * |
3,901 | 11,742 | ||||||
Sonder Holdings, Inc. * |
13,703 | 10,375 | ||||||
Sonos, Inc. * |
9,212 | 180,739 | ||||||
Sovos Brands, Inc. * |
1,927 | 32,142 | ||||||
Steven Madden Ltd. |
5,546 | 199,656 | ||||||
Sun Country Airlines Holdings, Inc. * |
2,480 | 50,840 | ||||||
Sweetgreen, Inc. Class A * |
6,329 | 49,619 | ||||||
Taylor Morrison Home Corp. * |
958 | 36,653 | ||||||
Texas Roadhouse, Inc. |
4,832 | 522,146 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
257
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
ThredUp, Inc. Class A * |
414 | $ 1,047 | ||||||
Titan International, Inc. * |
3,633 | 38,074 | ||||||
Torrid Holdings, Inc. * |
483 | 2,106 | ||||||
Tri Pointe Homes, Inc. * |
607 | 15,369 | ||||||
Veritiv Corp. |
954 | 128,924 | ||||||
Vinco Ventures, Inc. * |
7,547 | 2,425 | ||||||
Virgin Galactic Holdings, Inc. * |
8,284 | 33,550 | ||||||
Visteon Corp. * |
2,005 | 314,444 | ||||||
Vizio Holding Corp. Class A * |
5,087 | 46,699 | ||||||
Wabash National Corp. |
3,039 | 74,729 | ||||||
Warby Parker, Inc. Class A * |
5,963 | 63,148 | ||||||
Wingstop, Inc. |
2,160 | 396,533 | ||||||
Wolverine World Wide, Inc. |
5,660 | 96,503 | ||||||
Workhorse Group, Inc. * |
10,249 | 13,631 | ||||||
Xos, Inc. * |
3,139 | 1,648 | ||||||
XPEL, Inc. * |
1,567 | 106,478 | ||||||
Xponential Fitness, Inc. Class A * |
435 | 13,220 | ||||||
|
|
|||||||
10,599,745 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 29.2% |
| |||||||
22nd Century Group, Inc. * |
12,145 | 9,340 | ||||||
23andMe Holding Co. Class A * |
7,925 | 18,069 | ||||||
Aadi Bioscience, Inc. * |
1,139 | 8,246 | ||||||
AbCellera Biologics, Inc. * |
6,591 | 49,696 | ||||||
ACADIA Pharmaceuticals, Inc. * |
8,670 | 163,169 | ||||||
Aclaris Therapeutics, Inc. * |
4,598 | 37,198 | ||||||
Acrivon Therapeutics, Inc. * |
251 | 3,185 | ||||||
Adaptive Biotechnologies Corp. * |
326 | 2,879 | ||||||
Addus HomeCare Corp. * |
441 | 47,081 | ||||||
ADMA Biologics, Inc. * |
6,507 | 21,538 | ||||||
Affimed NV * |
10,968 | 8,178 | ||||||
Agenus, Inc. * |
21,679 | 32,952 | ||||||
Agiliti, Inc. * |
1,990 | 31,800 | ||||||
AirSculpt Technologies, Inc. |
710 | 3,578 | ||||||
Akero Therapeutics, Inc. * |
200 | 7,652 | ||||||
Akoya Biosciences, Inc. * |
1,199 | 9,808 | ||||||
Alarm.com Holdings, Inc. * |
3,497 | 175,829 | ||||||
Alector, Inc. * |
4,473 | 27,688 | ||||||
Alkermes PLC * |
11,747 | 331,148 | ||||||
Alphatec Holdings, Inc. * |
4,757 | 74,209 | ||||||
Alpine Immune Sciences, Inc. * |
866 | 6,686 | ||||||
Alta Equipment Group, Inc. |
406 | 6,435 | ||||||
Amicus Therapeutics, Inc. * |
19,869 | 220,347 | ||||||
AMN Healthcare Services, Inc. * |
3,118 | 258,669 | ||||||
Amneal Pharmaceuticals, Inc. * |
7,803 | 10,846 | ||||||
Amphastar Pharmaceuticals, Inc. * |
2,784 | 104,400 | ||||||
Amylyx Pharmaceuticals, Inc. * |
693 | 20,333 | ||||||
AN2 Therapeutics, Inc. * |
82 | 809 | ||||||
Anavex Life Sciences Corp. * |
4,912 | 42,096 | ||||||
Apellis Pharmaceuticals, Inc. * |
6,756 | 445,626 | ||||||
Arbutus Biopharma Corp. * |
4,402 | 13,338 | ||||||
Arcturus Therapeutics Holdings, Inc. * |
1,510 | 36,195 | ||||||
Arcutis Biotherapeutics, Inc. * |
2,960 | 32,560 | ||||||
Arlo Technologies, Inc. * |
6,166 | 37,366 | ||||||
Arrowhead Pharmaceuticals, Inc. * |
7,416 | 188,366 | ||||||
Artivion, Inc. * |
2,363 | 30,955 | ||||||
Arvinas, Inc. * |
3,549 | 96,959 | ||||||
ASGN, Inc. * |
3,535 | 292,238 | ||||||
Atara Biotherapeutics, Inc. * |
408 | 1,183 | ||||||
AtriCure, Inc. * |
2,125 | 88,081 | ||||||
Atrion Corp. |
97 | 60,907 | ||||||
Aura Biosciences, Inc. * |
1,671 | 15,507 | ||||||
Aurinia Pharmaceuticals, Inc. * |
9,787 | 107,266 | ||||||
Avid Bioservices, Inc. * |
4,469 | 83,838 | ||||||
Axogen, Inc. * |
2,897 | 27,377 | ||||||
Axonics, Inc. * |
3,532 | 192,706 | ||||||
Axsome Therapeutics, Inc. * |
2,313 | 142,666 | ||||||
Babylon Holdings Ltd. Class A * |
249 | 1,267 | ||||||
Barrett Business Services, Inc. |
452 | 40,065 | ||||||
Beachbody Co., Inc. * |
796 | 384 | ||||||
Beam Therapeutics, Inc. * |
4,597 | 140,760 |
Shares |
Value |
|||||||
Beauty Health Co. * |
5,556 | $ 70,172 | ||||||
BellRing Brands, Inc. * |
9,637 | 327,658 | ||||||
Benson Hill, Inc. * |
6,431 | 7,396 | ||||||
Beyond Meat, Inc. * |
4,382 | 71,120 | ||||||
BioCryst Pharmaceuticals, Inc. * |
9,416 | 78,529 | ||||||
Biohaven Ltd. * |
2,795 | 38,180 | ||||||
BioLife Solutions, Inc. * |
147 | 3,197 | ||||||
Blueprint Medicines Corp. * |
4,305 | 193,682 | ||||||
BRC, Inc. Class A * |
1,980 | 10,177 | ||||||
Bridgebio Pharma, Inc. * |
4,841 | 80,264 | ||||||
Brinks Co. |
3,266 | 218,169 | ||||||
Cal-Maine Foods, Inc. |
2,530 | 154,052 | ||||||
Calavo Growers, Inc. |
1,260 | 36,250 | ||||||
Cano Health, Inc. * |
11,683 | 10,632 | ||||||
Cardiovascular Systems, Inc. * |
1,573 | 31,240 | ||||||
CareDx, Inc. * |
3,642 | 33,288 | ||||||
Carriage Services, Inc. |
942 | 28,750 | ||||||
Cass Information Systems, Inc. |
194 | 8,402 | ||||||
Cassava Sciences, Inc. * |
2,807 | 67,705 | ||||||
Catalyst Pharmaceuticals, Inc. * |
7,031 | 116,574 | ||||||
CBIZ, Inc. * |
3,434 | 169,949 | ||||||
Celldex Therapeutics, Inc. * |
687 | 24,718 | ||||||
Celsius Holdings, Inc. * |
4,003 | 372,039 | ||||||
Celularity, Inc. * |
3,441 | 2,132 | ||||||
Central Garden & Pet Co. * |
263 | 10,799 | ||||||
Central Garden & Pet Co. Class A * |
1,127 | 44,032 | ||||||
Cerevel Therapeutics Holdings, Inc. * |
4,176 | 101,853 | ||||||
Cerus Corp. * |
12,357 | 36,700 | ||||||
Chefs Warehouse, Inc. * |
1,714 | 58,362 | ||||||
Chegg, Inc. * |
9,005 | 146,781 | ||||||
Chimerix, Inc. * |
5,072 | 6,391 | ||||||
Cimpress PLC * |
1,261 | 55,257 | ||||||
Clover Health Investments Corp. * |
27,686 | 23,397 | ||||||
Coca-Cola Consolidated, Inc. |
340 | 181,927 | ||||||
Coherus Biosciences, Inc. * |
5,267 | 36,026 | ||||||
Collegium Pharmaceutical, Inc. * |
2,477 | 59,423 | ||||||
CompoSecure, Inc. * |
385 | 2,834 | ||||||
CONMED Corp. |
2,108 | 218,937 | ||||||
Corcept Therapeutics, Inc. * |
6,260 | 135,592 | ||||||
CorVel Corp. * |
635 | 120,828 | ||||||
Coursera, Inc. * |
8,334 | 96,008 | ||||||
CRA International, Inc. |
498 | 53,694 | ||||||
Crinetics Pharmaceuticals, Inc. * |
564 | 9,058 | ||||||
Cross Country Healthcare, Inc. * |
377 | 8,415 | ||||||
CTI BioPharma Corp. * |
1,727 | 7,253 | ||||||
Custom Truck One Source, Inc. * |
1,625 | 11,034 | ||||||
Cutera, Inc. * |
1,185 | 27,990 | ||||||
Cytek Biosciences, Inc. * |
8,387 | 77,077 | ||||||
Cytokinetics, Inc. * |
5,347 | 188,161 | ||||||
Deciphera Pharmaceuticals, Inc. * |
1,051 | 16,238 | ||||||
Denali Therapeutics, Inc. * |
7,841 | 180,657 | ||||||
Distribution Solutions Group, Inc. * |
319 | 14,502 | ||||||
DocGo, Inc. * |
6,162 | 53,301 | ||||||
Duckhorn Portfolio, Inc. * |
3,032 | 48,209 | ||||||
Dynavax Technologies Corp. * |
8,721 | 85,553 | ||||||
Eagle Pharmaceuticals, Inc. * |
741 | 21,022 | ||||||
Eiger BioPharmaceuticals, Inc. * |
2,204 | 1,977 | ||||||
elf Beauty, Inc. * |
3,543 | 291,766 | ||||||
Embecta Corp. |
3,623 | 101,879 | ||||||
Enanta Pharmaceuticals, Inc. * |
173 | 6,996 | ||||||
Ensign Group, Inc. |
3,881 | 370,791 | ||||||
Esperion Therapeutics, Inc. * |
5,281 | 8,397 | ||||||
European Wax Center, Inc. Class A |
1,599 | 30,381 | ||||||
EVERTEC, Inc. |
4,438 | 149,782 | ||||||
Evolus, Inc. * |
2,506 | 21,201 | ||||||
EyePoint Pharmaceuticals, Inc. * |
682 | 2,005 | ||||||
Fate Therapeutics, Inc. * |
5,943 | 33,875 | ||||||
FibroGen, Inc. * |
5,643 | 105,298 | ||||||
First Advantage Corp. * |
442 | 6,170 | ||||||
Flywire Corp. * |
4,132 | 121,316 | ||||||
Foghorn Therapeutics, Inc. * |
1,657 | 10,273 | ||||||
Forrester Research, Inc. * |
833 | 26,948 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
258
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Franklin Covey Co. * |
871 | $33,507 | ||||||
Fresh Market, Inc. * W ± |
5,869 | - | ||||||
Gelesis Holdings, Inc. * |
599 | 97 | ||||||
Geron Corp. * |
21,959 | 47,651 | ||||||
Glaukos Corp. * |
3,310 | 165,831 | ||||||
Gossamer Bio, Inc. * |
5,487 | 6,914 | ||||||
Green Dot Corp. Class A * |
323 | 5,549 | ||||||
GreenLight Biosciences Holdings PBC * |
5,035 | 2,177 | ||||||
Hackett Group, Inc. |
1,575 | 29,106 | ||||||
Haemonetics Corp. * |
3,612 | 298,893 | ||||||
Halozyme Therapeutics, Inc. * |
9,596 | 366,471 | ||||||
Harmony Biosciences Holdings, Inc. * |
1,919 | 62,655 | ||||||
Healthcare Services Group, Inc. |
2,582 | 35,812 | ||||||
HealthEquity, Inc. * |
5,981 | 351,145 | ||||||
Helen of Troy Ltd. * |
1,722 | 163,883 | ||||||
Herbalife Nutrition Ltd. * |
4,774 | 76,861 | ||||||
Herc Holdings, Inc. |
1,811 | 206,273 | ||||||
Heron Therapeutics, Inc. * |
7,399 | 11,172 | ||||||
Heska Corp. * |
690 | 67,358 | ||||||
HilleVax, Inc. * |
341 | 5,637 | ||||||
Humacyte, Inc. * |
4,214 | 13,021 | ||||||
Huron Consulting Group, Inc. * |
843 | 67,752 | ||||||
I3 Verticals, Inc. Class A * |
1,642 | 40,278 | ||||||
ICF International, Inc. |
931 | 102,131 | ||||||
IGM Biosciences, Inc. * |
606 | 8,326 | ||||||
ImmunityBio, Inc. * |
5,351 | 9,739 | ||||||
ImmunoGen, Inc. * |
7,571 | 29,073 | ||||||
Inari Medical, Inc. * |
3,167 | 195,531 | ||||||
Information Services Group, Inc. |
1,464 | 7,452 | ||||||
Inhibrx, Inc. * |
2,316 | 43,703 | ||||||
Innovage Holding Corp. * |
127 | 1,013 | ||||||
Innoviva, Inc. * |
4,510 | 50,738 | ||||||
Inogen, Inc. * |
71 | 886 | ||||||
Insmed, Inc. * |
9,739 | 166,050 | ||||||
Insperity, Inc. |
2,583 | 313,964 | ||||||
Inspire Medical Systems, Inc. * |
2,060 | 482,184 | ||||||
Intellia Therapeutics, Inc. * |
3,922 | 146,173 | ||||||
Inter Parfums, Inc. |
1,293 | 183,916 | ||||||
Intercept Pharmaceuticals, Inc. * |
1,742 | 23,395 | ||||||
Intra-Cellular Therapies, Inc. * |
6,601 | 357,444 | ||||||
iRadimed Corp. |
508 | 19,990 | ||||||
iRhythm Technologies, Inc. * |
2,173 | 269,517 | ||||||
Ironwood Pharmaceuticals, Inc. * |
9,962 | 104,800 | ||||||
IVERIC bio, Inc. * |
9,839 | 239,383 | ||||||
J & J Snack Foods Corp. |
1,108 | 164,228 | ||||||
John B Sanfilippo & Son, Inc. |
400 | 38,768 | ||||||
John Wiley & Sons, Inc. Class A |
2,901 | 112,472 | ||||||
Joint Corp. * |
1,010 | 16,998 | ||||||
Karuna Therapeutics, Inc. * |
2,335 | 424,129 | ||||||
Karyopharm Therapeutics, Inc. * |
5,553 | 21,601 | ||||||
Keros Therapeutics, Inc. * |
1,354 | 57,816 | ||||||
Kforce, Inc. |
1,454 | 91,951 | ||||||
Kiniksa Pharmaceuticals Ltd. Class A * |
2,087 | 22,456 | ||||||
Korn Ferry |
3,786 | 195,888 | ||||||
Krispy Kreme, Inc. |
1,337 | 20,790 | ||||||
Krystal Biotech, Inc. * |
506 | 40,510 | ||||||
Lancaster Colony Corp. |
1,184 | 240,210 | ||||||
Lantheus Holdings, Inc. * |
4,923 | 406,443 | ||||||
Leafly Holdings, Inc. * |
1,319 | 527 | ||||||
Legalzoom.com, Inc. * |
7,106 | 66,654 | ||||||
LeMaitre Vascular, Inc. |
1,394 | 71,749 | ||||||
Lexicon Pharmaceuticals, Inc. * |
2,764 | 6,717 | ||||||
LifeStance Health Group, Inc. * |
274 | 2,036 | ||||||
Ligand Pharmaceuticals, Inc. * |
142 | 10,446 | ||||||
Liquidia Corp. * |
2,122 | 14,663 | ||||||
LivaNova PLC * |
2,941 | 128,169 | ||||||
Local Bounti Corp. * |
3,687 | 2,939 | ||||||
Madrigal Pharmaceuticals, Inc. * |
917 | 222,152 | ||||||
MannKind Corp. * |
2,244 | 9,200 | ||||||
MarketWise, Inc. * |
361 | 668 | ||||||
Medifast, Inc. |
804 | 83,351 | ||||||
Medpace Holdings, Inc. * |
1,829 | 343,943 |
Shares |
Value |
|||||||
MeiraGTx Holdings PLC * |
107 | $553 | ||||||
Merit Medical Systems, Inc. * |
3,466 | 256,311 | ||||||
MGP Ingredients, Inc. |
1,027 | 99,331 | ||||||
Mineralys Therapeutics, Inc. * |
360 | 5,638 | ||||||
Mirum Pharmaceuticals, Inc. * |
1,306 | 31,370 | ||||||
Mission Produce, Inc. * |
324 | 3,600 | ||||||
ModivCare, Inc. * |
289 | 24,299 | ||||||
Moneylion, Inc. * |
548 | 311 | ||||||
Morphic Holding, Inc. * |
1,618 | 60,902 | ||||||
Nano-X Imaging Ltd. * |
217 | 1,252 | ||||||
NanoString Technologies, Inc. * |
2,990 | 29,601 | ||||||
National Beverage Corp. * |
1,735 | 91,469 | ||||||
National Research Corp. |
1,006 | 43,771 | ||||||
Natural Grocers by Vitamin Cottage, Inc. |
703 | 8,260 | ||||||
Neogen Corp. * |
14,366 | 266,058 | ||||||
Nevro Corp. * |
2,585 | 93,448 | ||||||
NGM Biopharmaceuticals, Inc. * |
2,051 | 8,368 | ||||||
NuVasive, Inc. * |
3,718 | 153,591 | ||||||
Ocugen, Inc. * |
15,526 | 13,245 | ||||||
Ocular Therapeutix, Inc. * |
5,441 | 28,674 | ||||||
OmniAb, Inc. * |
524 | 1,928 | ||||||
Omnicell, Inc. * |
3,205 | 188,037 | ||||||
Oncology Institute, Inc. * |
2,011 | 1,363 | ||||||
Option Care Health, Inc. * |
12,043 | 382,606 | ||||||
Organogenesis Holdings, Inc. * |
5,039 | 10,733 | ||||||
OrthoPediatrics Corp. * |
1,088 | 48,188 | ||||||
Outlook Therapeutics, Inc. * |
10,920 | 11,903 | ||||||
Owens & Minor, Inc. * |
683 | 9,938 | ||||||
Owlet, Inc. * |
8,438 | 2,737 | ||||||
P3 Health Partners, Inc. * |
793 | 841 | ||||||
Pacira BioSciences, Inc. * |
3,273 | 133,571 | ||||||
Paragon 28, Inc. * |
3,607 | 61,571 | ||||||
Patterson Cos., Inc. |
4,924 | 131,815 | ||||||
Payoneer Global, Inc. * |
15,636 | 98,194 | ||||||
Pennant Group, Inc. * |
1,835 | 26,204 | ||||||
PepGen, Inc. * |
170 | 2,079 | ||||||
PetIQ, Inc. * |
1,530 | 17,503 | ||||||
Phathom Pharmaceuticals, Inc. * |
1,770 | 12,638 | ||||||
Phibro Animal Health Corp. Class A |
1,357 | 20,789 | ||||||
Point Biopharma Global, Inc. SPAC * |
6,107 | 44,398 | ||||||
Praxis Precision Medicines, Inc. * |
245 | 198 | ||||||
Precigen, Inc. * |
7,310 | 7,749 | ||||||
Prime Medicine, Inc. * |
285 | 3,506 | ||||||
Priority Technology Holdings, Inc. * |
1,041 | 3,737 | ||||||
PROCEPT BioRobotics Corp. * |
1,924 | 54,642 | ||||||
PROG Holdings, Inc. * |
570 | 13,560 | ||||||
Progyny, Inc. * |
5,445 | 174,893 | ||||||
Prometheus Biosciences, Inc. * |
2,507 | 269,051 | ||||||
Prothena Corp. PLC * |
2,828 | 137,073 | ||||||
Provention Bio, Inc. * |
3,932 | 94,761 | ||||||
PTC Therapeutics, Inc. * |
3,826 | 185,331 | ||||||
Pulmonx Corp. * |
2,433 | 27,201 | ||||||
Quanterix Corp. * |
259 | 2,919 | ||||||
R1 RCM, Inc. * |
10,861 | 162,915 | ||||||
RadNet, Inc. * |
3,646 | 91,259 | ||||||
Rallybio Corp. * |
1,378 | 7,868 | ||||||
RAPT Therapeutics, Inc. * |
1,459 | 26,773 | ||||||
Reata Pharmaceuticals, Inc. Class A * |
1,667 | 151,564 | ||||||
Recursion Pharmaceuticals, Inc. Class A * |
1,045 | 6,970 | ||||||
Relay Therapeutics, Inc. * |
545 | 8,976 | ||||||
Relmada Therapeutics, Inc. * |
1,166 | 2,635 | ||||||
Remitly Global, Inc. * |
7,254 | 122,955 | ||||||
Rent the Runway, Inc. Class A * |
3,516 | 10,021 | ||||||
Revance Therapeutics, Inc. * |
5,817 | 187,366 | ||||||
REVOLUTION Medicines, Inc. * |
887 | 19,212 | ||||||
Rigel Pharmaceuticals, Inc. * |
12,239 | 16,155 | ||||||
RxSight, Inc. * |
1,579 | 26,338 | ||||||
Sabre Corp. * |
4,940 | 21,193 | ||||||
Sangamo Therapeutics, Inc. * |
385 | 678 | ||||||
Science 37 Holdings, Inc. * |
3,229 | 909 | ||||||
Scilex Holding Co. * |
509 | 4,174 | ||||||
Select Medical Holdings Corp. |
6,372 | 164,716 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
259
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Senseonics Holdings, Inc. * |
33,720 | $23,941 | ||||||
Seres Therapeutics, Inc. * |
5,007 | 28,390 | ||||||
Shockwave Medical, Inc. * |
2,565 | 556,169 | ||||||
ShotSpotter, Inc. * |
639 | 25,125 | ||||||
SI-BONE, Inc. * |
2,416 | 47,523 | ||||||
SIGA Technologies, Inc. |
3,369 | 19,372 | ||||||
Silk Road Medical, Inc. * |
2,725 | 106,629 | ||||||
Simply Good Foods Co. * |
6,400 | 254,528 | ||||||
SomaLogic, Inc. * |
1,090 | 2,780 | ||||||
SP Plus Corp. * |
1,453 | 49,823 | ||||||
SpringWorks Therapeutics, Inc. * |
505 | 12,999 | ||||||
Sprouts Farmers Market, Inc. * |
7,635 | 267,454 | ||||||
STAAR Surgical Co. * |
3,455 | 220,947 | ||||||
Sterling Check Corp. * |
1,588 | 17,706 | ||||||
StoneCo Ltd. Class A * |
10,520 | 100,361 | ||||||
Stride, Inc. * |
3,050 | 119,712 | ||||||
SunOpta, Inc. * |
6,468 | 49,804 | ||||||
Surgery Partners, Inc. * |
3,318 | 114,371 | ||||||
Surmodics, Inc. * |
1,001 | 22,803 | ||||||
Syndax Pharmaceuticals, Inc. * |
1,000 | 21,120 | ||||||
Tactile Systems Technology, Inc. * |
543 | 8,916 | ||||||
Target Hospitality Corp. * |
2,062 | 27,095 | ||||||
Tattooed Chef, Inc. * |
2,711 | 3,850 | ||||||
Tenon Medical, Inc. * |
333 | 589 | ||||||
Textainer Group Holdings Ltd. |
437 | 14,032 | ||||||
TG Therapeutics, Inc. * |
9,621 | 144,700 | ||||||
Theravance Biopharma, Inc. * |
4,118 | 44,680 | ||||||
Third Harmonic Bio, Inc. * |
305 | 1,257 | ||||||
Thorne HealthTech, Inc. * |
1,329 | 6,140 | ||||||
Tootsie Roll Industries, Inc. |
1,000 | 44,909 | ||||||
Transcat, Inc. * |
509 | 45,500 | ||||||
TransMedics Group, Inc. * |
2,198 | 166,455 | ||||||
Travere Therapeutics, Inc. * |
3,996 | 89,870 | ||||||
Treace Medical Concepts, Inc. * |
2,714 | 68,366 | ||||||
TriNet Group, Inc. * |
2,701 | 217,728 | ||||||
Turning Point Brands, Inc. |
1,067 | 22,407 | ||||||
Twist Bioscience Corp. * |
2,814 | 42,435 | ||||||
Udemy, Inc. * |
5,191 | 45,837 | ||||||
UFP Technologies, Inc. * |
508 | 65,959 | ||||||
United Natural Foods, Inc. * |
342 | 9,012 | ||||||
Universal Technical Institute, Inc. * |
2,278 | 16,812 | ||||||
Upbound Group, Inc. |
3,650 | 89,461 | ||||||
US Physical Therapy, Inc. |
943 | 92,329 | ||||||
USANA Health Sciences, Inc. * |
822 | 51,704 | ||||||
Utah Medical Products, Inc. |
228 | 21,608 | ||||||
Utz Brands, Inc. |
4,062 | 66,901 | ||||||
Vaxart, Inc. * |
1,463 | 1,107 | ||||||
Vaxcyte, Inc. * |
5,167 | 193,659 | ||||||
Vector Group Ltd. |
1,464 | 17,583 | ||||||
Ventyx Biosciences, Inc. * |
1,830 | 61,305 | ||||||
Vera Therapeutics, Inc. * |
1,399 | 10,856 | ||||||
Vericel Corp. * |
3,438 | 100,802 | ||||||
Veru, Inc. * |
5,117 | 5,936 | ||||||
Verve Therapeutics, Inc. * |
541 | 7,801 | ||||||
Vicarious Surgical, Inc. * |
4,135 | 9,386 | ||||||
ViewRay, Inc. * |
9,376 | 32,441 | ||||||
Vintage Wine Estates, Inc. * |
279 | 299 | ||||||
Viridian Therapeutics, Inc. * |
2,070 | 52,661 | ||||||
VistaGen Therapeutics, Inc. * |
9,695 | 1,209 | ||||||
Vita Coco Co., Inc. * |
1,971 | 38,671 | ||||||
Vital Farms, Inc. * |
2,134 | 32,650 | ||||||
WD-40 Co. |
990 | 176,269 | ||||||
Wejo Group Ltd. * |
3,045 | 1,501 | ||||||
Willdan Group, Inc. * |
63 | 984 | ||||||
Xeris Biopharma Holdings, Inc. * |
9,498 | 15,482 | ||||||
Y-mAbs Therapeutics, Inc. * |
2,887 | 14,464 | ||||||
Zentalis Pharmaceuticals, Inc. * |
3,177 | 54,644 | ||||||
ZipRecruiter, Inc. Class A * |
5,362 | 85,470 | ||||||
Zynex, Inc. * |
1,518 | 18,216 | ||||||
|
|
|||||||
25,858,931 | ||||||||
|
|
Shares |
Value |
|||||||
Energy - 7.2% |
| |||||||
Alpha Metallurgical Resources, Inc. |
1,100 | $171,600 | ||||||
Amplify Energy Corp. * |
1,952 | 13,410 | ||||||
Arch Resources, Inc. |
1,076 | 141,451 | ||||||
Aris Water Solution, Inc. Class A |
1,596 | 12,433 | ||||||
Array Technologies, Inc. * |
10,866 | 237,748 | ||||||
Battalion Oil Corp. * |
144 | 946 | ||||||
Berry Corp. |
1,119 | 8,784 | ||||||
Borr Drilling Ltd. * |
6,900 | 52,302 | ||||||
Callon Petroleum Co. * |
3,008 | 100,588 | ||||||
ChampionX Corp. |
14,431 | 391,513 | ||||||
Chord Energy Corp. |
1,778 | 239,319 | ||||||
CNX Resources Corp. * |
722 | 11,566 | ||||||
Comstock Resources, Inc. |
6,758 | 72,919 | ||||||
CONSOL Energy, Inc. |
2,346 | 136,701 | ||||||
Crescent Energy Co. Class A |
2,913 | 32,946 | ||||||
CVR Energy, Inc. |
2,116 | 69,363 | ||||||
Delek US Holdings, Inc. |
5,003 | 114,819 | ||||||
Denbury, Inc. * |
3,611 | 316,432 | ||||||
DMC Global, Inc. * |
393 | 8,634 | ||||||
Earthstone Energy, Inc. Class A * |
3,109 | 40,448 | ||||||
Empire Petroleum Corp. * |
796 | 9,878 | ||||||
Energy Vault Holdings, Inc. * |
5,923 | 12,675 | ||||||
Equitrans Midstream Corp. |
7,057 | 40,789 | ||||||
Fluence Energy, Inc. * |
2,770 | 56,093 | ||||||
FuelCell Energy, Inc. * |
21,137 | 60,240 | ||||||
Golar LNG Ltd. * |
401 | 8,662 | ||||||
Gulfport Energy Corp. * |
784 | 62,720 | ||||||
Heliogen, Inc. * |
5,222 | 1,254 | ||||||
HighPeak Energy, Inc. |
511 | 11,753 | ||||||
Kinetik Holdings, Inc. |
101 | 3,161 | ||||||
Kosmos Energy Ltd. * |
32,534 | 242,053 | ||||||
Liberty Energy, Inc. |
9,737 | 124,731 | ||||||
Magnolia Oil & Gas Corp. Class A |
12,622 | 276,169 | ||||||
Matador Resources Co. |
8,111 | 386,489 | ||||||
Montauk Renewables, Inc. * |
4,876 | 38,374 | ||||||
Murphy Oil Corp. |
4,682 | 173,140 | ||||||
Nabors Industries Ltd. * |
566 | 69,001 | ||||||
NextDecade Corp. * |
2,347 | 11,665 | ||||||
NexTier Oilfield Solutions, Inc. * |
12,792 | 101,696 | ||||||
Noble Corp. PLC * |
1,084 | 42,785 | ||||||
Northern Oil & Gas, Inc. |
4,073 | 123,616 | ||||||
Oceaneering International, Inc. * |
6,594 | 116,252 | ||||||
Par Pacific Holdings, Inc. * |
3,583 | 104,624 | ||||||
Patterson-UTI Energy, Inc. |
10,314 | 120,674 | ||||||
PBF Energy, Inc. Class A |
1,968 | 85,333 | ||||||
Permian Resources Corp. |
2,169 | 22,775 | ||||||
ProFrac Holding Corp. Class A * |
786 | 9,959 | ||||||
Ramaco Resources, Inc. |
1,624 | 14,307 | ||||||
Ranger Oil Corp. Class A |
1,371 | 55,992 | ||||||
Riley Exploration Permian, Inc. |
477 | 18,155 | ||||||
Ring Energy, Inc. * |
2,246 | 4,267 | ||||||
RPC, Inc. |
5,276 | 40,572 | ||||||
SandRidge Energy, Inc. * |
1,688 | 24,324 | ||||||
Shoals Technologies Group, Inc. Class A * |
11,726 | 267,236 | ||||||
SilverBow Resources, Inc. * |
840 | 19,194 | ||||||
Sitio Royalties Corp. Class A |
5,174 | 116,932 | ||||||
SM Energy Co. |
8,728 | 245,781 | ||||||
Solaris Oilfield Infrastructure, Inc. Class A |
2,230 | 19,044 | ||||||
Stem, Inc. * |
9,765 | 55,368 | ||||||
SunPower Corp. * |
6,049 | 83,718 | ||||||
Talos Energy, Inc. * |
5,041 | 74,808 | ||||||
Tellurian, Inc. * |
36,525 | 44,926 | ||||||
TETRA Technologies, Inc. * |
7,141 | 18,924 | ||||||
TPI Composites, Inc. * |
2,619 | 34,178 | ||||||
US Silica Holdings, Inc. * |
794 | 9,480 | ||||||
VAALCO Energy, Inc. |
7,527 | 34,097 | ||||||
Valaris Ltd. * |
4,390 | 285,613 | ||||||
Vertex Energy, Inc. * |
3,399 | 33,582 | ||||||
Vital Energy, Inc. * |
1,185 | 53,965 | ||||||
W&T Offshore, Inc. * |
5,582 | 28,357 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
260
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Warrior Met Coal, Inc. |
398 | $14,611 | ||||||
Weatherford International PLC * |
5,093 | 302,270 | ||||||
|
|
|||||||
6,390,184 | ||||||||
|
|
|||||||
Financial - 7.4% |
| |||||||
Alexanders, Inc. REIT |
173 | 33,519 | ||||||
Applied Digital Corp. * |
2,594 | 5,811 | ||||||
Artisan Partners Asset Management, Inc. Class A |
2,845 | 90,983 | ||||||
Associated Capital Group, Inc. Class A |
16 | 591 | ||||||
Atlanticus Holdings Corp. * |
159 | 4,314 | ||||||
Avantax, Inc. * |
3,524 | 92,752 | ||||||
Axos Financial, Inc. * |
321 | 11,851 | ||||||
B Riley Financial, Inc. |
1,495 | 42,443 | ||||||
BancFirst Corp. |
867 | 72,048 | ||||||
Bancorp, Inc. * |
1,786 | 49,740 | ||||||
Bank of NT Butterfield & Son Ltd. |
291 | 7,857 | ||||||
BayCom Corp. |
213 | 3,638 | ||||||
Bluerock Homes Trust, Inc. REIT * |
73 | 1,447 | ||||||
Bridgewater Bancshares, Inc. * |
561 | 6,081 | ||||||
Brightsphere Investment Group, Inc. |
2,163 | 51,004 | ||||||
Brookfield Business Corp. Class A |
1,649 | 32,683 | ||||||
BRP Group, Inc. Class A * |
4,458 | 113,501 | ||||||
Cadence Bank |
584 | 12,124 | ||||||
CareTrust REIT, Inc. |
757 | 14,822 | ||||||
CBL & Associates Properties, Inc. REIT |
385 | 9,871 | ||||||
Clipper Realty, Inc. REIT |
1,151 | 6,607 | ||||||
Coastal Financial Corp. * |
787 | 28,340 | ||||||
Cohen & Steers, Inc. |
1,824 | 116,663 | ||||||
Columbia Financial, Inc. * |
957 | 17,494 | ||||||
Community Healthcare Trust, Inc. REIT |
1,105 | 40,443 | ||||||
Compass, Inc. Class A * |
19,800 | 63,954 | ||||||
Corporate Office Properties Trust REIT |
1,115 | 26,437 | ||||||
Cryptyde, Inc. * |
608 | 51 | ||||||
Curo Group Holdings Corp. |
935 | 1,618 | ||||||
Cushman & Wakefield PLC * |
9,169 | 96,641 | ||||||
Diamond Hill Investment Group, Inc. |
214 | 35,220 | ||||||
Doma Holdings, Inc. * |
1,268 | 517 | ||||||
Douglas Elliman, Inc. |
407 | 1,266 | ||||||
Eastern Bankshares, Inc. |
2,471 | 31,184 | ||||||
eHealth, Inc. * |
434 | 4,062 | ||||||
Esquire Financial Holdings, Inc. |
470 | 18,377 | ||||||
Essential Properties Realty Trust, Inc. REIT |
1,076 | 26,739 | ||||||
eXp World Holdings, Inc. |
5,043 | 63,996 | ||||||
Farmers & Merchants Bancorp, Inc. |
359 | 8,731 | ||||||
Federated Hermes, Inc. |
6,173 | 247,784 | ||||||
First BanCorp |
567 | 6,475 | ||||||
First Financial Bankshares, Inc. |
9,411 | 300,211 | ||||||
First Guaranty Bancshares, Inc. |
32 | 501 | ||||||
Five Star Bancorp |
401 | 8,557 | ||||||
Focus Financial Partners, Inc. Class A * |
4,192 | 217,439 | ||||||
Four Corners Property Trust, Inc. REIT |
700 | 18,802 | ||||||
FVCBankcorp, Inc. * |
320 | 3,408 | ||||||
GCM Grosvenor, Inc. Class A |
2,634 | 20,572 | ||||||
Glacier Bancorp, Inc. |
1,127 | 47,345 | ||||||
Gladstone Commercial Corp. REIT |
2,749 | 34,720 | ||||||
Gladstone Land Corp. REIT |
1,326 | 22,078 | ||||||
Goosehead Insurance, Inc. Class A * |
1,192 | 62,222 | ||||||
Greene County Bancorp, Inc. |
498 | 11,295 | ||||||
Hamilton Lane, Inc. Class A |
2,611 | 193,162 | ||||||
Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT |
440 | 12,584 | ||||||
HCI Group, Inc. |
452 | 24,227 | ||||||
Hersha Hospitality Trust REIT |
497 | 3,340 | ||||||
Hingham Institution For Savings |
19 | 4,435 | ||||||
HomeTrust Bancshares, Inc. |
319 | 7,844 | ||||||
Houlihan Lokey, Inc. |
3,661 | 320,301 | ||||||
Industrial Logistics Properties Trust REIT |
198 | 608 | ||||||
Innovative Industrial Properties, Inc. REIT |
1,972 | 149,852 | ||||||
International Money Express, Inc. * |
2,319 | 59,784 | ||||||
Investors Title Co. |
16 | 2,416 | ||||||
iStar, Inc. REIT * |
1,241 | 36,448 |
Shares |
Value |
|||||||
Kinsale Capital Group, Inc. |
1,560 | $468,234 | ||||||
Lakeland Financial Corp. |
1,469 | 92,018 | ||||||
LendingClub Corp. * |
302 | 2,177 | ||||||
LendingTree, Inc. * |
745 | 19,862 | ||||||
Live Oak Bancshares, Inc. |
1,910 | 46,547 | ||||||
Marcus & Millichap, Inc. |
1,908 | 61,266 | ||||||
McGrath RentCorp |
1,740 | 162,359 | ||||||
Metrocity Bankshares, Inc. |
434 | 7,417 | ||||||
Metropolitan Bank Holding Corp. * |
111 | 3,762 | ||||||
Moelis & Co. Class A |
2,316 | 89,027 | ||||||
NerdWallet, Inc. Class A * |
1,848 | 29,901 | ||||||
Newmark Group, Inc. Class A |
979 | 6,931 | ||||||
NexPoint Residential Trust, Inc. REIT |
1,588 | 69,348 | ||||||
Nicolet Bankshares, Inc. * |
142 | 8,953 | ||||||
NMI Holdings, Inc. Class A * |
457 | 10,205 | ||||||
Offerpad Solutions, Inc. * |
3,916 | 2,064 | ||||||
Outfront Media, Inc. REIT |
9,910 | 160,839 | ||||||
Palomar Holdings, Inc. * |
1,779 | 98,201 | ||||||
Pathward Financial, Inc. |
415 | 17,218 | ||||||
PennyMac Mortgage Investment Trust REIT |
1,122 | 13,834 | ||||||
Perella Weinberg Partners |
2,459 | 22,377 | ||||||
Phillips Edison & Co., Inc. REIT |
8,452 | 275,704 | ||||||
PJT Partners, Inc. Class A |
1,725 | 124,528 | ||||||
Postal Realty Trust, Inc. Class A REIT |
999 | 15,205 | ||||||
PotlatchDeltic Corp. REIT |
611 | 30,245 | ||||||
Redfin Corp. * |
7,625 | 69,083 | ||||||
RLI Corp. |
2,815 | 374,142 | ||||||
RMR Group, Inc. Class A |
835 | 21,910 | ||||||
Saul Centers, Inc. REIT |
864 | 33,696 | ||||||
Sculptor Capital Management, Inc. |
996 | 8,576 | ||||||
ServisFirst Bancshares, Inc. |
3,615 | 197,487 | ||||||
Silvercrest Asset Management Group, Inc. Class A |
691 | 12,562 | ||||||
SiriusPoint Ltd. * |
433 | 3,520 | ||||||
Skyward Specialty Insurance Group, Inc. * |
182 | 3,980 | ||||||
St. Joe Co. |
2,500 | 104,025 | ||||||
StepStone Group, Inc. Class A |
4,042 | 98,099 | ||||||
Stock Yards Bancorp, Inc. |
1,788 | 98,590 | ||||||
StoneX Group, Inc. * |
123 | 12,734 | ||||||
Tanger Factory Outlet Centers, Inc. REIT |
7,343 | 144,143 | ||||||
Third Coast Bancshares, Inc. * |
51 | 801 | ||||||
Triumph Financial, Inc. * |
496 | 28,798 | ||||||
Trupanion, Inc. * |
2,826 | 121,207 | ||||||
UMH Properties, Inc. REIT |
3,361 | 49,709 | ||||||
Universal Health Realty Income Trust REIT |
994 | 47,821 | ||||||
Universal Insurance Holdings, Inc. |
268 | 4,883 | ||||||
Veritex Holdings, Inc. |
399 | 7,286 | ||||||
Victory Capital Holdings, Inc. Class A |
372 | 10,888 | ||||||
Virtus Investment Partners, Inc. |
44 | 8,377 | ||||||
Walker & Dunlop, Inc. |
1,548 | 117,911 | ||||||
West BanCorp, Inc. |
382 | 6,979 | ||||||
Westamerica BanCorp |
431 | 19,093 | ||||||
WisdomTree, Inc. |
7,815 | 45,796 | ||||||
World Acceptance Corp. * |
196 | 16,325 | ||||||
|
|
|||||||
6,568,473 | ||||||||
|
|
|||||||
Industrial - 16.0% |
| |||||||
908 Devices, Inc. * |
289 | 2,485 | ||||||
AAON, Inc. |
3,160 | 305,540 | ||||||
Advanced Energy Industries, Inc. |
2,707 | 265,286 | ||||||
Aerojet Rocketdyne Holdings, Inc. * |
4,306 | 241,868 | ||||||
AeroVironment, Inc. * |
1,752 | 160,588 | ||||||
AEye, Inc. * |
5,842 | 1,839 | ||||||
Air Transport Services Group, Inc. * |
1,585 | 33,016 | ||||||
Akoustis Technologies, Inc. * |
4,521 | 13,925 | ||||||
Alamo Group, Inc. |
623 | 114,732 | ||||||
Albany International Corp. Class A |
440 | 39,318 | ||||||
Allied Motion Technologies, Inc. |
873 | 33,741 | ||||||
American Woodmark Corp. * |
54 | 2,812 | ||||||
Apogee Enterprises, Inc. |
1,589 | 68,724 | ||||||
Applied Industrial Technologies, Inc. |
2,758 | 391,995 | ||||||
ArcBest Corp. |
584 | 53,973 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
261
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Atkore, Inc. * |
2,839 | $398,823 | ||||||
Atlas Technical Consultants, Inc. * |
939 | 11,446 | ||||||
Babcock & Wilcox Enterprises, Inc. * |
4,326 | 26,216 | ||||||
Badger Meter, Inc. |
2,108 | 256,797 | ||||||
Belden, Inc. |
1,644 | 142,650 | ||||||
Berkshire Grey, Inc. * |
5,026 | 6,936 | ||||||
Blink Charging Co. * |
3,042 | 26,313 | ||||||
Bloom Energy Corp. Class A * |
12,962 | 258,333 | ||||||
Boise Cascade Co. |
595 | 37,634 | ||||||
Brady Corp. Class A |
2,514 | 135,077 | ||||||
Cactus, Inc. Class A |
4,528 | 186,689 | ||||||
Cadre Holdings, Inc. |
1,372 | 29,553 | ||||||
Casella Waste Systems, Inc. Class A * |
3,598 | 297,411 | ||||||
Charge Enterprises, Inc. * |
9,673 | 10,640 | ||||||
Chart Industries, Inc. * |
3,075 | 385,605 | ||||||
Chase Corp. |
144 | 15,081 | ||||||
CIRCOR International, Inc. * |
402 | 12,510 | ||||||
Comfort Systems USA, Inc. |
2,554 | 372,782 | ||||||
Construction Partners, Inc. Class A * |
2,934 | 79,042 | ||||||
CryoPort, Inc. * |
2,678 | 64,272 | ||||||
CSW Industrials, Inc. |
1,061 | 147,405 | ||||||
CTS Corp. |
2,324 | 114,945 | ||||||
Daseke, Inc. * |
2,829 | 21,868 | ||||||
Dycom Industries, Inc. * |
2,081 | 194,886 | ||||||
EMCOR Group, Inc. |
3,403 | 553,294 | ||||||
Energizer Holdings, Inc. |
5,117 | 177,560 | ||||||
Energy Recovery, Inc. * |
4,019 | 92,638 | ||||||
Enerpac Tool Group Corp. |
4,155 | 105,952 | ||||||
EnerSys |
359 | 31,190 | ||||||
Enovix Corp. * |
7,959 | 118,669 | ||||||
ESCO Technologies, Inc. |
179 | 17,086 | ||||||
ESS Tech, Inc. * |
6,581 | 9,148 | ||||||
Evoqua Water Technologies Corp. * |
8,476 | 421,427 | ||||||
Exponent, Inc. |
3,664 | 365,264 | ||||||
Fabrinet * |
2,661 | 316,020 | ||||||
FARO Technologies, Inc. * |
79 | 1,944 | ||||||
Federal Signal Corp. |
4,304 | 233,320 | ||||||
Fluor Corp. * |
9,364 | 289,441 | ||||||
Forward Air Corp. |
1,938 | 208,839 | ||||||
Franklin Electric Co., Inc. |
3,322 | 312,600 | ||||||
GATX Corp. |
151 | 16,613 | ||||||
Gorman-Rupp Co. |
354 | 8,850 | ||||||
GrafTech International Ltd. |
13,837 | 67,248 | ||||||
Great Lakes Dredge & Dock Corp. * |
1,396 | 7,580 | ||||||
Greif, Inc. Class A |
326 | 20,659 | ||||||
Greif, Inc. Class B |
51 | 3,903 | ||||||
Griffon Corp. |
1,579 | 50,544 | ||||||
Helios Technologies, Inc. |
2,348 | 153,559 | ||||||
Hillenbrand, Inc. |
2,517 | 119,633 | ||||||
Identiv, Inc. * |
1,682 | 10,327 | ||||||
IES Holdings, Inc. * |
407 | 17,538 | ||||||
Insteel Industries, Inc. |
1,329 | 36,973 | ||||||
Itron, Inc. * |
293 | 16,247 | ||||||
Janus International Group, Inc. * |
6,026 | 59,416 | ||||||
JELD-WEN Holding, Inc. * |
2,222 | 28,131 | ||||||
Joby Aviation, Inc. * |
16,710 | 72,521 | ||||||
John Bean Technologies Corp. |
2,279 | 249,072 | ||||||
Kadant, Inc. |
839 | 174,948 | ||||||
Karat Packaging, Inc. |
354 | 4,719 | ||||||
Latham Group, Inc. * |
3,248 | 9,289 | ||||||
Li-Cycle Holdings Corp. * |
3,740 | 21,056 | ||||||
Lindsay Corp. |
782 | 118,184 | ||||||
LSB Industries, Inc. * |
5,487 | 56,681 | ||||||
Luxfer Holdings PLC |
934 | 15,785 | ||||||
Marten Transport Ltd. |
3,210 | 67,249 | ||||||
Masonite International Corp. * |
1,615 | 146,594 | ||||||
Materion Corp. |
1,384 | 160,544 | ||||||
Mesa Laboratories, Inc. |
366 | 63,951 | ||||||
MicroVision, Inc. * |
11,857 | 31,658 | ||||||
Momentus, Inc. * |
1,113 | 651 | ||||||
Montrose Environmental Group, Inc. * |
2,029 | 72,374 | ||||||
Moog, Inc. Class A |
340 | 34,255 |
Shares |
Value |
|||||||
Mueller Industries, Inc. |
1,459 | $ 107,207 | ||||||
Mueller Water Products, Inc. Class A |
11,284 | 157,299 | ||||||
Myers Industries, Inc. |
2,615 | 56,039 | ||||||
MYR Group, Inc. * |
1,185 | 149,322 | ||||||
Napco Security Technologies, Inc. * |
2,315 | 86,998 | ||||||
NEXTracker, Inc. Class A * |
1,936 | 70,199 | ||||||
Northwest Pipe Co. * |
193 | 6,027 | ||||||
Novanta, Inc. * |
2,560 | 407,270 | ||||||
NV5 Global, Inc. * |
991 | 103,034 | ||||||
O-I Glass, Inc. * |
8,994 | 204,254 | ||||||
Omega Flex, Inc. |
233 | 25,966 | ||||||
OSI Systems, Inc. * |
144 | 14,740 | ||||||
PAM Transportation Services, Inc. * |
468 | 13,399 | ||||||
PGT Innovations, Inc. * |
4,217 | 105,889 | ||||||
Plexus Corp. * |
1,696 | 165,479 | ||||||
Primoris Services Corp. |
275 | 6,782 | ||||||
Proto Labs, Inc. * |
325 | 10,774 | ||||||
Pure Cycle Corp. * |
1,841 | 17,397 | ||||||
PureCycle Technologies, Inc. * |
6,032 | 42,224 | ||||||
Radiant Logistics, Inc. * |
876 | 5,747 | ||||||
RBC Bearings, Inc. * |
304 | 70,750 | ||||||
Redwire Corp. * |
237 | 718 | ||||||
Rocket Lab USA, Inc. * |
15,436 | 62,361 | ||||||
Ryerson Holding Corp. |
55 | 2,001 | ||||||
Saia, Inc. * |
1,914 | 520,761 | ||||||
Sarcos Technology & Robotics Corp. * |
6,320 | 3,000 | ||||||
Sight Sciences, Inc. * |
116 | 1,014 | ||||||
Simpson Manufacturing Co., Inc. |
3,083 | 338,020 | ||||||
SmartRent, Inc. * |
8,790 | 22,415 | ||||||
Smith & Wesson Brands, Inc. |
175 | 2,154 | ||||||
Sterling Infrastructure, Inc. * |
1,798 | 68,108 | ||||||
Stoneridge, Inc. * |
244 | 4,563 | ||||||
Sturm Ruger & Co., Inc. |
1,109 | 63,701 | ||||||
Tennant Co. |
608 | 41,666 | ||||||
Terex Corp. |
2,375 | 114,902 | ||||||
Transphorm, Inc. * |
1,912 | 7,629 | ||||||
Trinity Industries, Inc. |
892 | 21,729 | ||||||
Turtle Beach Corp. * |
990 | 9,920 | ||||||
UFP Industries, Inc. |
3,775 | 299,999 | ||||||
Universal Logistics Holdings, Inc. |
399 | 11,631 | ||||||
Vicor Corp. * |
1,575 | 73,930 | ||||||
Watts Water Technologies, Inc. Class A |
1,972 | 331,927 | ||||||
Werner Enterprises, Inc. |
562 | 25,565 | ||||||
Xometry, Inc. Class A * |
2,451 | 36,691 | ||||||
Zurn Elkay Water Solutions Corp. |
8,960 | 191,386 | ||||||
|
|
|||||||
14,216,487 | ||||||||
|
|
|||||||
Technology - 16.2% |
| |||||||
8x8, Inc. * |
8,082 | 33,702 | ||||||
ACI Worldwide, Inc. * |
8,079 | 217,971 | ||||||
ACM Research, Inc. Class A * |
571 | 6,681 | ||||||
ACV Auctions, Inc. Class A * |
4,265 | 55,061 | ||||||
Agilysys, Inc. * |
1,441 | 118,897 | ||||||
Alignment Healthcare, Inc. * |
7,000 | 44,520 | ||||||
Alkami Technology, Inc. * |
2,616 | 33,119 | ||||||
Alpha & Omega Semiconductor Ltd. * |
1,260 | 33,957 | ||||||
Altair Engineering, Inc. Class A * |
3,745 | 270,052 | ||||||
Ambarella, Inc. * |
2,676 | 207,176 | ||||||
American Software, Inc. Class A |
1,750 | 22,067 | ||||||
Amkor Technology, Inc. |
1,495 | 38,900 | ||||||
Amplitude, Inc. Class A * |
4,026 | 50,083 | ||||||
Apollo Medical Holdings, Inc. * |
2,834 | 103,356 | ||||||
Appfolio, Inc. Class A * |
1,420 | 176,762 | ||||||
Appian Corp. Class A * |
2,914 | 129,323 | ||||||
Arteris, Inc. * |
1,527 | 6,459 | ||||||
Asana, Inc. Class A * |
5,355 | 113,151 | ||||||
Atomera, Inc. * |
1,611 | 10,262 | ||||||
AvePoint, Inc. * |
9,412 | 38,777 | ||||||
Avid Technology, Inc. * |
1,577 | 50,432 | ||||||
AvidXchange Holdings, Inc. * |
9,346 | 72,899 | ||||||
Axcelis Technologies, Inc. * |
2,354 | 313,670 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
262
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Bandwidth, Inc. Class A * |
419 | $6,369 | ||||||
BigCommerce Holdings, Inc. * |
4,670 | 41,750 | ||||||
Blackbaud, Inc. * |
3,189 | 220,998 | ||||||
Blackline, Inc. * |
3,980 | 267,257 | ||||||
Box, Inc. Class A * |
10,075 | 269,909 | ||||||
Brightcove, Inc. * |
2,147 | 9,554 | ||||||
C3.ai, Inc. Class A * |
808 | 27,125 | ||||||
Cantaloupe, Inc. * |
2,447 | 13,948 | ||||||
Cerberus Cyber Sentinel Corp. * |
2,620 | 886 | ||||||
CEVA, Inc. * |
1,708 | 51,974 | ||||||
Clear Secure, Inc. Class A |
4,696 | 122,894 | ||||||
CommVault Systems, Inc. * |
3,234 | 183,497 | ||||||
Consensus Cloud Solutions, Inc. * |
653 | 22,261 | ||||||
Corsair Gaming, Inc. * |
1,656 | 30,388 | ||||||
CS Disco, Inc. * |
1,683 | 11,175 | ||||||
CSG Systems International, Inc. |
2,233 | 119,912 | ||||||
Diebold Nixdorf, Inc. * |
4,218 | 5,062 | ||||||
Digi International, Inc. * |
860 | 28,965 | ||||||
Digimarc Corp. * |
926 | 18,196 | ||||||
Digital Turbine, Inc. * |
6,705 | 82,874 | ||||||
DigitalOcean Holdings, Inc. * |
5,033 | 197,143 | ||||||
Diodes, Inc. * |
2,333 | 216,409 | ||||||
Domo, Inc. Class B * |
2,250 | 31,927 | ||||||
Donnelley Financial Solutions, Inc. * |
103 | 4,209 | ||||||
Duolingo, Inc. * |
1,733 | 247,108 | ||||||
Ebix, Inc. |
493 | 6,503 | ||||||
eGain Corp. * |
571 | 4,334 | ||||||
Enfusion, Inc. Class A * |
1,921 | 20,171 | ||||||
EngageSmart, Inc. * |
2,547 | 49,030 | ||||||
Envestnet, Inc. * |
3,044 | 178,591 | ||||||
Everbridge, Inc. * |
2,935 | 101,756 | ||||||
EverCommerce, Inc. * |
179 | 1,894 | ||||||
Evolent Health, Inc. Class A * |
5,906 | 191,650 | ||||||
ExlService Holdings, Inc. * |
2,333 | 377,549 | ||||||
Faraday Future Intelligent Electric, Inc. * |
20,165 | 7,140 | ||||||
ForgeRock, Inc. Class A * |
2,252 | 46,391 | ||||||
FormFactor, Inc. * |
5,594 | 178,169 | ||||||
Grid Dynamics Holdings, Inc. * |
3,810 | 43,663 | ||||||
HireRight Holdings Corp. * |
1,507 | 15,989 | ||||||
IBEX Holdings Ltd. * |
636 | 15,518 | ||||||
Impinj, Inc. * |
1,404 | 190,270 | ||||||
Insight Enterprises, Inc. * |
1,918 | 274,197 | ||||||
Inspired Entertainment, Inc. * |
1,057 | 13,519 | ||||||
Instructure Holdings, Inc. * |
232 | 6,009 | ||||||
Intapp, Inc. * |
1,034 | 46,365 | ||||||
Integral Ad Science Holding Corp. * |
952 | 13,585 | ||||||
IonQ, Inc. * |
1,412 | 8,684 | ||||||
IronNet, Inc. * |
4,043 | 1,422 | ||||||
Kulicke & Soffa Industries, Inc. |
4,055 | 213,658 | ||||||
LivePerson, Inc. * |
5,024 | 22,156 | ||||||
MACOM Technology Solutions Holdings, Inc. Class H * |
3,928 | 278,260 | ||||||
Markforged Holding Corp. * |
829 | 795 | ||||||
Matterport, Inc. * |
11,721 | 31,998 | ||||||
Maximus, Inc. |
4,120 | 324,244 | ||||||
MaxLinear, Inc. * |
5,298 | 186,543 | ||||||
MeridianLink, Inc. * |
1,650 | 28,545 | ||||||
MicroStrategy, Inc. Class A * |
417 | 121,897 | ||||||
Mitek Systems, Inc. * |
2,911 | 27,916 | ||||||
Model N, Inc. * |
2,755 | 92,210 | ||||||
Momentive Global, Inc. * |
9,605 | 89,519 | ||||||
N-Able, Inc. * |
4,246 | 56,047 | ||||||
NextGen Healthcare, Inc. * |
1,935 | 33,688 | ||||||
NextNav, Inc. * |
5,006 | 10,162 | ||||||
Nutex Health, Inc. * |
17,944 | 18,123 | ||||||
OneSpan, Inc. * |
1,013 | 17,728 | ||||||
Onto Innovation, Inc. * |
3,573 | 313,995 | ||||||
Outset Medical, Inc. * |
3,573 | 65,743 | ||||||
PagerDuty, Inc. * |
6,235 | 218,100 | ||||||
PAR Technology Corp. * |
713 | 24,213 | ||||||
PDF Solutions, Inc. * |
2,161 | 91,626 | ||||||
Pear Therapeutics, Inc. * |
1,633 | 416 |
Shares |
Value |
|||||||
Photronics, Inc. * |
3,146 | $ 52,161 | ||||||
Phreesia, Inc. * |
1,689 | 54,538 | ||||||
Pitney Bowes, Inc. |
6,619 | 25,748 | ||||||
Playstudios, Inc. * |
2,932 | 10,819 | ||||||
Power Integrations, Inc. |
4,108 | 347,701 | ||||||
PowerSchool Holdings, Inc. Class A * |
1,139 | 22,575 | ||||||
Privia Health Group, Inc. * |
3,757 | 103,731 | ||||||
Progress Software Corp. |
3,120 | 179,244 | ||||||
PROS Holdings, Inc. * |
1,919 | 52,581 | ||||||
PubMatic, Inc. Class A * |
2,819 | 38,959 | ||||||
Qualys, Inc. * |
2,779 | 361,326 | ||||||
Rambus, Inc. * |
6,469 | 331,601 | ||||||
Rapid7, Inc. * |
4,267 | 195,898 | ||||||
Red Violet, Inc. * |
703 | 12,373 | ||||||
Rimini Street, Inc. * |
3,497 | 14,408 | ||||||
Sapiens International Corp. NV |
1,701 | 36,946 | ||||||
Schrodinger, Inc. * |
3,948 | 103,951 | ||||||
Semtech Corp. * |
4,495 | 108,509 | ||||||
Silicon Laboratories, Inc. * |
2,281 | 399,380 | ||||||
Simulations Plus, Inc. |
1,116 | 49,037 | ||||||
SiTime Corp. * |
1,174 | 166,978 | ||||||
SkyWater Technology, Inc. * |
847 | 9,639 | ||||||
SMART Global Holdings, Inc. * |
3,517 | 60,633 | ||||||
Sprout Social, Inc. Class A * |
3,371 | 205,226 | ||||||
SPS Commerce, Inc. * |
2,613 | 397,960 | ||||||
Sumo Logic, Inc. * |
5,445 | 65,231 | ||||||
Super Micro Computer, Inc. * |
3,381 | 360,246 | ||||||
Synaptics, Inc. * |
2,865 | 318,445 | ||||||
Telos Corp. * |
3,937 | 9,961 | ||||||
Tenable Holdings, Inc. * |
8,059 | 382,883 | ||||||
TTEC Holdings, Inc. |
1,356 | 50,484 | ||||||
Ultra Clean Holdings, Inc. * |
1,146 | 38,001 | ||||||
Unisys Corp. * |
3,549 | 13,770 | ||||||
Varonis Systems, Inc. * |
7,721 | 200,823 | ||||||
Veeco Instruments, Inc. * |
3,001 | 63,411 | ||||||
Velo3D, Inc. * |
4,248 | 9,643 | ||||||
Verint Systems, Inc. * |
4,277 | 159,275 | ||||||
Veritone, Inc. * |
2,301 | 13,415 | ||||||
Verra Mobility Corp. * |
10,104 | 170,960 | ||||||
Viant Technology, Inc. Class A * |
851 | 3,702 | ||||||
Vimeo, Inc. * |
8,213 | 31,456 | ||||||
Vuzix Corp. * |
3,726 | 15,426 | ||||||
Weave Communications, Inc. * |
2,334 | 11,600 | ||||||
WM Technology, Inc. * |
6,652 | 5,649 | ||||||
Workiva, Inc. * |
3,435 | 351,778 | ||||||
Yext, Inc. * |
8,287 | 79,638 | ||||||
Zeta Global Holdings Corp. Class A * |
8,146 | 88,221 | ||||||
Zuora, Inc. Class A * |
9,264 | 91,528 | ||||||
|
|
|||||||
14,316,516 | ||||||||
|
|
|||||||
Utilities - 1.6% |
| |||||||
Altus Power, Inc. * |
2,540 | 13,919 | ||||||
Ameresco, Inc. Class A * |
2,332 | 114,781 | ||||||
American States Water Co. |
1,248 | 110,935 | ||||||
Artesian Resources Corp. Class A |
463 | 25,632 | ||||||
Brookfield Infrastructure Corp. Class A |
7,049 | 324,677 | ||||||
California Water Service Group |
1,002 | 58,316 | ||||||
Clearway Energy, Inc. Class A |
2,612 | 78,438 | ||||||
Clearway Energy, Inc. Class C |
5,959 | 186,696 | ||||||
FTC Solar, Inc. * |
3,462 | 7,790 | ||||||
Global Water Resources, Inc. |
1,295 | 16,097 | ||||||
MGE Energy, Inc. |
1,158 | 89,942 | ||||||
Middlesex Water Co. |
383 | 29,920 | ||||||
New Jersey Resources Corp. |
627 | 33,356 | ||||||
Ormat Technologies, Inc. |
2,106 | 178,526 | ||||||
Otter Tail Corp. |
1,362 | 98,432 | ||||||
Southwest Gas Holdings, Inc. * |
501 | 31,287 | ||||||
Via Renewables, Inc. * |
320 | 5,874 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
263
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
York Water Co. |
1,099 | $49,125 | ||||||
|
|
|||||||
1,453,743 | ||||||||
|
|
|||||||
Total Common Stocks |
87,102,780 | |||||||
|
|
|||||||
EXCHANGE-TRADED FUND - 1.3% |
||||||||
iShares Russell 2000 Growth |
4,978 | 1,129,110 | ||||||
|
|
|||||||
Total Exchange-Traded Fund |
1,129,110 | |||||||
|
|
|||||||
Principal |
||||||||
SHORT-TERM INVESTMENT - 0.4% |
| |||||||
Repurchase Agreement - 0.4% |
| |||||||
Fixed Income Clearing Corp. |
$398,147 | 398,147 | ||||||
|
|
|||||||
Total Short-Term Investment |
398,147 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 100.0% |
88,631,995 | |||||||
|
|
|||||||
DERIVATIVES - 0.0% |
16,571 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - (0.0%) |
|
(5,476 | ) | |||||
|
|
|||||||
NET ASSETS - 100.0% |
$88,643,090 | |||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $1,958 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
264
PACIFIC SELECT FUND
PD SMALL-CAP GROWTH INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||
Micro Russell 2000 E-Mini Index |
06/23 | 47 | $409,602 | $426,173 | $16,571 | |||||||||||||
|
|
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Rights |
$1,958 | $- | $- | $1,958 | |||||||||||||
Common Stocks |
||||||||||||||||||
Basic Materials |
3,743,190 | 3,743,190 | - | - | ||||||||||||||
Communications |
3,955,511 | 3,955,511 | - | - | ||||||||||||||
Consumer, Cyclical |
10,599,745 | 10,599,745 | - | - | ||||||||||||||
Consumer, Non-Cyclical |
25,858,931 | 25,854,757 | 4,174 | - | ||||||||||||||
Energy |
6,390,184 | 6,390,184 | - | - | ||||||||||||||
Financial |
6,568,473 | 6,568,473 | - | - | ||||||||||||||
Industrial |
14,216,487 | 14,216,487 | - | - | ||||||||||||||
Technology |
14,316,516 | 14,316,516 | - | - | ||||||||||||||
Utilities |
1,453,743 | 1,453,743 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
87,102,780 | 87,098,606 | 4,174 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Exchange-Traded Fund |
1,129,110 | 1,129,110 | - | - | ||||||||||||||
Short-Term Investment |
398,147 | - | 398,147 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
16,571 | 16,571 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$88,648,566 | $88,244,287 | $402,321 | $1,958 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
265
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
RIGHTS - 0.0% |
| |||||||
Basic Materials - 0.0% |
| |||||||
PolyMet Mining Corp. Exp 04/10/23 * |
3,342 | $9 | ||||||
|
|
|||||||
Consumer, Non-Cyclical - 0.0% |
| |||||||
Contra Aduro Biotechnologies, Inc. - Contingent Value Rights * W ± |
123 | 312 | ||||||
OmniAb, Inc. $12.50 - Earn Out Shares * W ± |
588 | - | ||||||
OmniAb, Inc. $15.00 - Earn Out Shares * W ± |
588 | - | ||||||
|
|
|||||||
312 | ||||||||
|
|
|||||||
Total Rights |
321 | |||||||
|
|
|||||||
COMMON STOCKS - 96.2% |
| |||||||
Basic Materials - 3.1% |
| |||||||
AdvanSix, Inc. |
1,321 | 50,555 | ||||||
American Vanguard Corp. |
264 | 5,776 | ||||||
Amyris, Inc. * |
13,520 | 18,387 | ||||||
Arconic Corp. * |
7,985 | 209,447 | ||||||
Avient Corp. |
1,870 | 76,969 | ||||||
AZZ, Inc. |
1,898 | 78,273 | ||||||
Carpenter Technology Corp. |
3,656 | 163,643 | ||||||
Coeur Mining, Inc. * |
21,670 | 86,463 | ||||||
Commercial Metals Co. |
7,422 | 362,936 | ||||||
Constellium SE * |
4,604 | 70,349 | ||||||
Danimer Scientific, Inc. * |
6,804 | 23,474 | ||||||
Ecovyst, Inc. * |
6,564 | 72,532 | ||||||
Energy Fuels, Inc. * |
2,034 | 11,350 | ||||||
Glatfelter Corp. |
3,303 | 10,537 | ||||||
Hawkins, Inc. |
566 | 24,779 | ||||||
Haynes International, Inc. |
931 | 46,634 | ||||||
HB Fuller Co. |
584 | 39,975 | ||||||
Hecla Mining Co. |
42,328 | 267,936 | ||||||
Hycroft Mining Holding Corp. * |
2,208 | 955 | ||||||
Innospec, Inc. |
283 | 29,056 | ||||||
Intrepid Potash, Inc. * |
832 | 22,963 | ||||||
Ivanhoe Electric, Inc. * |
1,770 | 21,505 | ||||||
Koppers Holdings, Inc. |
1,600 | 55,952 | ||||||
Mativ Holdings, Inc. |
3,926 | 84,291 | ||||||
Minerals Technologies, Inc. |
2,480 | 149,842 | ||||||
Novagold Resources, Inc. * (Canada) |
1,166 | 7,253 | ||||||
Origin Materials, Inc. * |
3,036 | 12,964 | ||||||
Perimeter Solutions SA * |
9,128 | 73,754 | ||||||
Piedmont Lithium, Inc. * |
985 | 59,149 | ||||||
PolyMet Mining Corp. * (Canada) |
1,275 | 2,741 | ||||||
Quaker Chemical Corp. |
359 | 71,064 | ||||||
Rayonier Advanced Materials, Inc. * |
4,627 | 29,011 | ||||||
Schnitzer Steel Industries, Inc. Class A |
1,835 | 57,068 | ||||||
Sensient Technologies Corp. |
168 | 12,862 | ||||||
Stepan Co. |
1,472 | 151,660 | ||||||
Sylvamo Corp. |
157 | 7,263 | ||||||
Terawulf, Inc. * |
2,353 | 2,207 | ||||||
Trinseo PLC |
2,749 | 57,317 | ||||||
Tronox Holdings PLC |
8,954 | 128,758 | ||||||
Unifi, Inc. * |
1,069 | 8,734 | ||||||
Ur-Energy, Inc. * |
2,705 | 2,867 | ||||||
US Lime & Minerals, Inc. |
31 | 4,733 | ||||||
Valhi, Inc. |
160 | 2,786 | ||||||
|
|
|||||||
2,676,770 | ||||||||
|
|
Shares |
Value |
|||||||
Communications - 3.4% |
|
|||||||
1-800-Flowers.com, Inc. Class A * |
1,940 | $22,310 | ||||||
1stdibs.com, Inc. * |
1,778 | 7,059 | ||||||
A10 Networks, Inc. |
978 | 15,149 | ||||||
ADTRAN Holdings, Inc. |
535 | 8,485 | ||||||
Advantage Solutions, Inc. * |
6,200 | 9,796 | ||||||
aka Brands Holding Corp. * |
1,032 | 562 | ||||||
Allbirds, Inc. Class A * |
5,308 | 6,370 | ||||||
AMC Networks, Inc. Class A * |
2,261 | 39,748 | ||||||
Anterix, Inc. * |
982 | 32,445 | ||||||
Arena Group Holdings, Inc. * |
317 | 1,347 | ||||||
ATN International, Inc. |
821 | 33,595 | ||||||
Audacy, Inc. * |
13,875 | 1,869 | ||||||
Aviat Networks, Inc. * |
839 | 28,912 | ||||||
BARK, Inc. * |
8,126 | 11,783 | ||||||
Blade Air Mobility, Inc. * |
4,255 | 14,382 | ||||||
Boston Omaha Corp. Class A * |
1,651 | 39,079 | ||||||
Bumble, Inc. Class A * |
7,660 | 149,753 | ||||||
Calix, Inc. * |
965 | 51,714 | ||||||
Cars.com, Inc. * |
4,427 | 85,441 | ||||||
Clear Channel Outdoor Holdings, Inc. * |
27,661 | 33,193 | ||||||
Cogent Communications Holdings, Inc. |
1,501 | 95,644 | ||||||
Consolidated Communications Holdings, Inc. * |
5,017 | 12,944 | ||||||
ContextLogic, Inc. Class A * |
43,214 | 19,265 | ||||||
Cumulus Media, Inc. Class A * |
1,292 | 4,768 | ||||||
DHI Group, Inc. * |
679 | 2,635 | ||||||
DigitalBridge Group, Inc. |
1,211 | 14,520 | ||||||
EchoStar Corp. Class A * |
2,656 | 48,578 | ||||||
Edgio, Inc. * |
1,306 | 1,033 | ||||||
Entravision Communications Corp. Class A |
1,205 | 7,290 | ||||||
ePlus, Inc. * |
455 | 22,313 | ||||||
Eventbrite, Inc. Class A * |
705 | 6,049 | ||||||
EW Scripps Co. Class A * |
4,375 | 41,169 | ||||||
Figs, Inc. Class A * |
1,415 | 8,759 | ||||||
fuboTV, Inc. * |
14,053 | 17,004 | ||||||
Gannett Co., Inc. * |
10,791 | 20,179 | ||||||
Globalstar, Inc. * |
8,190 | 9,500 | ||||||
Gogo, Inc. * |
3,578 | 51,881 | ||||||
Gray Television, Inc. |
3,732 | 32,543 | ||||||
Groupon, Inc. * |
1,469 | 6,185 | ||||||
HealthStream, Inc. * |
1,794 | 48,617 | ||||||
Hims & Hers Health, Inc. * |
1,402 | 13,908 | ||||||
IDT Corp. Class B * |
338 | 11,519 | ||||||
iHeartMedia, Inc. Class A * |
9,022 | 35,186 | ||||||
Innovid Corp. * (Israel) |
996 | 1,404 | ||||||
Inseego Corp. * |
8,019 | 4,670 | ||||||
Inspirato, Inc. * |
2,313 | 2,218 | ||||||
InterDigital, Inc. |
1,430 | 104,247 | ||||||
KORE Group Holdings, Inc. * |
3,079 | 3,756 | ||||||
Lands End, Inc. * |
1,142 | 11,100 | ||||||
Liberty Latin America Ltd. Class A * |
3,143 | 26,118 | ||||||
Liberty Latin America Ltd. Class C * |
11,265 | 93,049 | ||||||
Liquidity Services, Inc. * |
911 | 11,998 | ||||||
Magnite, Inc. * |
10,178 | 94,248 | ||||||
Maxar Technologies, Inc. |
5,627 | 287,315 | ||||||
NETGEAR, Inc. * |
2,121 | 39,260 | ||||||
Overstock.com, Inc. * |
3,311 | 67,114 | ||||||
Planet Labs PBC * |
2,301 | 9,043 | ||||||
Preformed Line Products Co. |
189 | 24,200 | ||||||
QuinStreet, Inc. * |
3,731 | 59,211 | ||||||
Quotient Technology, Inc. * |
6,009 | 19,710 | ||||||
RealReal, Inc. * |
5,536 | 6,975 | ||||||
Ribbon Communications, Inc. * |
5,430 | 18,571 | ||||||
Rover Group, Inc. * |
484 | 2,193 | ||||||
RumbleON, Inc. Class B * |
786 | 4,763 | ||||||
Scholastic Corp. |
2,261 | 77,371 | ||||||
Shenandoah Telecommunications Co. |
3,764 | 71,591 | ||||||
Solo Brands, Inc. Class A * |
1,658 | 11,905 | ||||||
Squarespace, Inc. Class A * |
1,796 | 57,059 | ||||||
Stagwell, Inc. * |
5,212 | 38,673 | ||||||
Stitch Fix, Inc. Class A * |
3,765 | 19,239 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
266
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
TEGNA, Inc. |
17,047 | $288,265 | ||||||
Telephone & Data Systems, Inc. |
7,790 | 81,873 | ||||||
Terran Orbital Corp. * |
3,073 | 5,654 | ||||||
Thryv Holdings, Inc. * |
1,430 | 32,976 | ||||||
TrueCar, Inc. * |
6,563 | 15,095 | ||||||
Urban One, Inc. * |
1,877 | 11,816 | ||||||
US Cellular Corp. * |
1,095 | 22,699 | ||||||
Vacasa, Inc. Class A * |
8,723 | 8,393 | ||||||
Value Line, Inc. |
9 | 435 | ||||||
Vivid Seats, Inc. Class A * |
1,427 | 10,888 | ||||||
WideOpenWest, Inc. * |
1,705 | 18,124 | ||||||
Ziff Davis, Inc. * |
2,831 | 220,960 | ||||||
|
|
|||||||
3,008,660 | ||||||||
|
|
|||||||
Consumer, Cyclical - 12.1% |
| |||||||
A-Mark Precious Metals, Inc. |
1,378 | 47,748 | ||||||
Abercrombie & Fitch Co. Class A * |
3,737 | 103,702 | ||||||
Academy Sports & Outdoors, Inc. |
5,813 | 379,298 | ||||||
Acushnet Holdings Corp. |
1,841 | 93,781 | ||||||
Adient PLC * |
7,263 | 297,492 | ||||||
Aeva Technologies, Inc. * |
6,817 | 8,112 | ||||||
Allegiant Travel Co. * |
693 | 63,742 | ||||||
Americas Car-Mart, Inc. * |
441 | 34,932 | ||||||
American Axle & Manufacturing Holdings, Inc. * |
8,336 | 65,104 | ||||||
American Eagle Outfitters, Inc. |
11,796 | 158,538 | ||||||
Asbury Automotive Group, Inc. * |
1,203 | 252,630 | ||||||
Aterian, Inc. * |
4,480 | 3,853 | ||||||
Ballys Corp. * |
2,807 | 54,793 | ||||||
Beacon Roofing Supply, Inc. * |
1,191 | 70,090 | ||||||
Beazer Homes USA, Inc. * |
2,220 | 35,254 | ||||||
Bed Bath & Beyond, Inc. * |
2,583 | 1,104 | ||||||
Big 5 Sporting Goods Corp. |
1,600 | 12,304 | ||||||
Big Lots, Inc. |
2,117 | 23,202 | ||||||
Biglari Holdings, Inc. Class B * |
56 | 9,475 | ||||||
BJs Restaurants, Inc. * |
1,782 | 51,927 | ||||||
Bloomin Brands, Inc. |
1,870 | 47,966 | ||||||
Bluegreen Vacations Holding Corp. |
623 | 17,058 | ||||||
BlueLinx Holdings, Inc. * |
690 | 46,892 | ||||||
Bowlero Corp. * |
2,211 | 37,476 | ||||||
Brinker International, Inc. * |
331 | 12,578 | ||||||
Buckle, Inc. |
160 | 5,710 | ||||||
Build-A-Bear Workshop, Inc. |
272 | 6,321 | ||||||
Cato Corp. Class A |
1,332 | 11,775 | ||||||
Cenntro Electric Group Ltd. * (Australia) |
13,825 | 6,384 | ||||||
Century Casinos, Inc. * |
415 | 3,042 | ||||||
Century Communities, Inc. |
2,009 | 128,415 | ||||||
Cepton, Inc. * |
845 | 392 | ||||||
Chicos FAS, Inc. * |
2,552 | 14,036 | ||||||
Childrens Place, Inc. * |
310 | 12,478 | ||||||
Chuys Holdings, Inc. * |
1,416 | 50,764 | ||||||
Cinemark Holdings, Inc. * |
1,724 | 25,498 | ||||||
Citi Trends, Inc. * |
575 | 10,937 | ||||||
Clean Energy Fuels Corp. * |
13,251 | 57,774 | ||||||
CompX International, Inc. |
121 | 2,188 | ||||||
Conns, Inc. * |
972 | 5,890 | ||||||
Container Store Group, Inc. * |
2,401 | 8,235 | ||||||
Dana, Inc. |
9,877 | 148,649 | ||||||
Dennys Corp. * |
1,181 | 13,180 | ||||||
Designer Brands, Inc. Class A |
1,007 | 8,801 | ||||||
Destination XL Group, Inc. * |
2,059 | 11,345 | ||||||
Dine Brands Global, Inc. |
137 | 9,267 | ||||||
Duluth Holdings, Inc. Class B * |
468 | 2,986 | ||||||
El Pollo Loco Holdings, Inc. |
1,457 | 13,973 | ||||||
Ermenegildo Zegna NV (Italy) |
3,482 | 47,494 | ||||||
Ethan Allen Interiors, Inc. |
1,698 | 46,627 | ||||||
Everi Holdings, Inc. * |
3,101 | 53,182 | ||||||
EVgo, Inc. * |
4,485 | 34,938 | ||||||
Express, Inc. * |
4,371 | 3,446 | ||||||
First Watch Restaurant Group, Inc. * |
740 | 11,884 | ||||||
FirstCash, Inc. |
1,444 | 137,714 | ||||||
Foot Locker, Inc. |
6,172 | 244,967 |
Shares |
Value |
|||||||
Forestar Group, Inc. * |
1,024 | $ 15,933 | ||||||
Fossil Group, Inc. * |
3,528 | 11,290 | ||||||
Franchise Group, Inc. |
107 | 2,916 | ||||||
Full House Resorts, Inc. * |
1,807 | 13,065 | ||||||
G-III Apparel Group Ltd. * |
3,382 | 52,590 | ||||||
Genesco, Inc. * |
903 | 33,303 | ||||||
Global Industrial Co. |
263 | 7,059 | ||||||
Goodyear Tire & Rubber Co. * |
21,468 | 236,577 | ||||||
Green Brick Partners, Inc. * |
1,560 | 54,694 | ||||||
Group 1 Automotive, Inc. |
1,080 | 244,534 | ||||||
GrowGeneration Corp. * |
4,295 | 14,689 | ||||||
Haverty Furniture Cos., Inc. |
1,089 | 34,750 | ||||||
Hawaiian Holdings, Inc. * |
3,781 | 34,634 | ||||||
Hibbett, Inc. |
200 | 11,796 | ||||||
Hyliion Holdings Corp. * |
10,310 | 20,414 | ||||||
IMAX Corp. * |
1,395 | 26,756 | ||||||
Interface, Inc. |
797 | 6,472 | ||||||
International Game Technology PLC |
5,832 | 156,298 | ||||||
iRobot Corp. * |
239 | 10,430 | ||||||
Jack in the Box, Inc. |
1,368 | 119,823 | ||||||
JOANN, Inc. |
1,218 | 1,937 | ||||||
Johnson Outdoors, Inc. Class A |
400 | 25,204 | ||||||
KAR Auction Services, Inc. * |
8,289 | 113,394 | ||||||
KB Home |
4,759 | 191,217 | ||||||
Kimball International, Inc. Class B |
2,678 | 33,207 | ||||||
La-Z-Boy, Inc. |
3,304 | 96,080 | ||||||
Landsea Homes Corp. * |
915 | 5,545 | ||||||
LGI Homes, Inc. * |
1,466 | 167,168 | ||||||
Life Time Group Holdings, Inc. * |
3,299 | 52,652 | ||||||
Lifetime Brands, Inc. |
912 | 5,363 | ||||||
Light & Wonder, Inc. * |
7,226 | 433,921 | ||||||
Lindblad Expeditions Holdings, Inc. * |
2,323 | 22,208 | ||||||
Lions Gate Entertainment Corp. Class A * |
4,577 | 50,667 | ||||||
Lions Gate Entertainment Corp. Class B * |
9,016 | 93,586 | ||||||
LL Flooring Holdings, Inc. * |
2,107 | 8,007 | ||||||
Lordstown Motors Corp. Class A * |
13,226 | 8,770 | ||||||
M/I Homes, Inc. * |
1,767 | 111,480 | ||||||
Madison Square Garden Entertainment Corp. * |
1,999 | 118,081 | ||||||
Marcus Corp. |
1,932 | 30,912 | ||||||
MarineMax, Inc. * |
1,569 | 45,109 | ||||||
MDC Holdings, Inc. |
3,307 | 128,543 | ||||||
Meritage Homes Corp. |
2,595 | 302,992 | ||||||
Methode Electronics, Inc. |
2,717 | 119,222 | ||||||
Microvast Holdings, Inc. * |
5,245 | 6,504 | ||||||
Miller Industries, Inc. |
798 | 28,209 | ||||||
MillerKnoll, Inc. |
5,815 | 118,917 | ||||||
Motorcar Parts of America, Inc. * |
1,422 | 10,580 | ||||||
Movado Group, Inc. |
1,137 | 32,711 | ||||||
National Vision Holdings, Inc. * |
5,659 | 106,616 | ||||||
Nikola Corp. * |
2,503 | 3,029 | ||||||
Nu Skin Enterprises, Inc. Class A |
2,231 | 87,701 | ||||||
ODP Corp. * |
3,062 | 137,729 | ||||||
OneWater Marine, Inc. Class A * |
781 | 21,845 | ||||||
Oxford Industries, Inc. |
346 | 36,534 | ||||||
Papa Johns International, Inc. |
714 | 53,500 | ||||||
Patrick Industries, Inc. |
1,489 | 102,458 | ||||||
PC Connection, Inc. |
842 | 37,856 | ||||||
PetMed Express, Inc. |
257 | 4,174 | ||||||
PLBY Group, Inc. * |
3,350 | 6,633 | ||||||
PriceSmart, Inc. |
747 | 53,396 | ||||||
Proterra, Inc. * |
9,072 | 13,789 | ||||||
Purple Innovation, Inc. * |
4,416 | 11,658 | ||||||
Qurate Retail, Inc. Class A * |
26,196 | 25,876 | ||||||
RCI Hospitality Holdings, Inc. |
43 | 3,361 | ||||||
Red Rock Resorts, Inc. Class A |
2,127 | 94,800 | ||||||
Reservoir Media, Inc. * |
202 | 1,317 | ||||||
Resideo Technologies, Inc. * |
11,064 | 202,250 | ||||||
REV Group, Inc. |
2,474 | 29,663 | ||||||
Rite Aid Corp. * |
2,217 | 4,966 | ||||||
Rocky Brands, Inc. |
489 | 11,281 | ||||||
Rush Enterprises, Inc. Class A |
3,185 | 173,901 | ||||||
Rush Enterprises, Inc. Class B |
530 | 31,742 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
267
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Sally Beauty Holdings, Inc. * |
566 | $ 8,818 | ||||||
ScanSource, Inc. * |
1,887 | 57,440 | ||||||
SeaWorld Entertainment, Inc. * |
1,519 | 93,130 | ||||||
Shoe Carnival, Inc. |
1,275 | 32,704 | ||||||
Signet Jewelers Ltd. (NYSE) |
3,422 | 266,163 | ||||||
SkyWest, Inc. * |
3,869 | 85,776 | ||||||
Sleep Number Corp. * |
885 | 26,913 | ||||||
Snap One Holdings Corp. * |
1,368 | 12,791 | ||||||
Solid Power, Inc. * |
6,001 | 18,063 | ||||||
Sonic Automotive, Inc. Class A |
1,394 | 75,750 | ||||||
Sovos Brands, Inc. * |
877 | 14,628 | ||||||
Spirit Airlines, Inc. |
8,341 | 143,215 | ||||||
Sportsmans Warehouse Holdings, Inc. * |
2,785 | 23,617 | ||||||
Standard Motor Products, Inc. |
1,582 | 58,392 | ||||||
Steelcase, Inc. Class A |
6,864 | 57,795 | ||||||
Superior Group of Cos., Inc. |
912 | 7,177 | ||||||
Taylor Morrison Home Corp. * |
7,012 | 268,279 | ||||||
ThredUp, Inc. Class A * |
3,742 | 9,467 | ||||||
Tile Shop Holdings, Inc. * |
2,360 | 11,068 | ||||||
Tillys, Inc. Class A * |
1,693 | 13,053 | ||||||
Titan Machinery, Inc. * |
1,599 | 48,690 | ||||||
Topgolf Callaway Brands Corp. * |
10,704 | 231,420 | ||||||
Torrid Holdings, Inc. * |
693 | 3,021 | ||||||
Traeger, Inc. * |
2,493 | 10,246 | ||||||
TravelCenters of America, Inc. * |
974 | 84,251 | ||||||
Tri Pointe Homes, Inc. * |
7,078 | 179,215 | ||||||
Tupperware Brands Corp. * |
3,307 | 8,268 | ||||||
TuSimple Holdings, Inc. Class A * |
10,619 | 15,610 | ||||||
UniFirst Corp. |
1,145 | 201,783 | ||||||
Universal Electronics, Inc. * |
903 | 9,156 | ||||||
Urban Outfitters, Inc. * |
4,886 | 135,440 | ||||||
Vinco Ventures, Inc. * |
11,951 | 3,840 | ||||||
Virgin Galactic Holdings, Inc. * |
10,091 | 40,869 | ||||||
Vista Outdoor, Inc. * |
4,279 | 118,571 | ||||||
VSE Corp. |
798 | 35,830 | ||||||
Wabash National Corp. |
462 | 11,361 | ||||||
Weyco Group, Inc. |
463 | 11,714 | ||||||
Wheels Up Experience, Inc. * |
12,134 | 7,678 | ||||||
Winmark Corp. |
221 | 70,815 | ||||||
Winnebago Industries, Inc. |
2,280 | 131,556 | ||||||
Workhorse Group, Inc. * |
1,324 | 1,761 | ||||||
World Fuel Services Corp. |
4,590 | 117,274 | ||||||
Xperi, Inc. * |
3,124 | 34,145 | ||||||
Xponential Fitness, Inc. Class A * |
1,061 | 32,244 | ||||||
Zumiez, Inc. * |
1,282 | 23,640 | ||||||
|
|
|||||||
10,646,264 | ||||||||
|
|
|||||||
Consumer, Non-Cyclical - 16.2% |
| |||||||
23andMe Holding Co. Class A * |
11,120 | 25,354 | ||||||
2seventy bio, Inc. * |
2,794 | 28,499 | ||||||
2U, Inc. * |
6,072 | 41,593 | ||||||
4D Molecular Therapeutics, Inc. * |
2,247 | 38,626 | ||||||
Aarons Co., Inc. |
2,261 | 21,841 | ||||||
AbCellera Biologics, Inc. * (Canada) |
9,223 | 69,541 | ||||||
ABM Industries, Inc. |
5,075 | 228,070 | ||||||
Absci Corp. * |
3,947 | 6,907 | ||||||
ACCO Brands Corp. |
6,888 | 36,644 | ||||||
Accolade, Inc. * |
5,188 | 74,603 | ||||||
Acrivon Therapeutics, Inc. * |
354 | 4,492 | ||||||
AdaptHealth Corp. * |
5,591 | 69,496 | ||||||
Adaptive Biotechnologies Corp. * |
8,230 | 72,671 | ||||||
Addus HomeCare Corp. * |
729 | 77,828 | ||||||
Adicet Bio, Inc. * |
2,267 | 13,058 | ||||||
ADMA Biologics, Inc. * |
8,695 | 28,780 | ||||||
Adtalem Global Education, Inc. * |
3,433 | 132,582 | ||||||
Aerovate Therapeutics, Inc. * |
693 | 13,978 | ||||||
Affimed NV * (Germany) |
1,132 | 844 | ||||||
Agios Pharmaceuticals, Inc. * |
4,189 | 96,221 | ||||||
Akero Therapeutics, Inc. * |
2,491 | 95,306 | ||||||
Alico, Inc. |
525 | 12,705 | ||||||
Alight, Inc. Class A * |
29,453 | 271,262 |
Shares |
Value |
|||||||
Allogene Therapeutics, Inc. * |
5,963 | $ 29,457 | ||||||
Allovir, Inc. * |
2,327 | 9,168 | ||||||
Alpha Teknova, Inc. * |
552 | 1,634 | ||||||
Alphatec Holdings, Inc. * |
571 | 8,908 | ||||||
Alpine Immune Sciences, Inc. * |
981 | 7,573 | ||||||
Alta Equipment Group, Inc. |
1,270 | 20,129 | ||||||
ALX Oncology Holdings, Inc. * |
1,605 | 7,255 | ||||||
American Public Education, Inc. * |
1,381 | 7,485 | ||||||
American Well Corp. Class A * |
17,215 | 40,627 | ||||||
Amylyx Pharmaceuticals, Inc. * |
3,120 | 91,541 | ||||||
AN2 Therapeutics, Inc. * |
680 | 6,712 | ||||||
AnaptysBio, Inc. * |
1,518 | 33,032 | ||||||
Andersons, Inc. |
2,464 | 101,812 | ||||||
AngioDynamics, Inc. * |
2,787 | 28,818 | ||||||
ANI Pharmaceuticals, Inc. * |
956 | 37,972 | ||||||
Anika Therapeutics, Inc. * |
1,091 | 31,334 | ||||||
API Group Corp. * |
15,830 | 355,858 | ||||||
AppHarvest, Inc. * |
8,750 | 5,358 | ||||||
Arbutus Biopharma Corp. * |
3,927 | 11,899 | ||||||
Arcellx, Inc. * |
2,297 | 70,771 | ||||||
Arcturus Therapeutics Holdings, Inc. * |
251 | 6,016 | ||||||
Arcus Biosciences, Inc. * |
3,991 | 72,796 | ||||||
Artivion, Inc. * |
437 | 5,725 | ||||||
Atara Biotherapeutics, Inc. * |
6,414 | 18,601 | ||||||
Atea Pharmaceuticals, Inc. * |
5,711 | 19,132 | ||||||
Athira Pharma, Inc. * |
2,540 | 6,350 | ||||||
ATI Physical Therapy, Inc. * |
8,414 | 2,139 | ||||||
AtriCure, Inc. * |
1,260 | 52,227 | ||||||
Avanos Medical, Inc. * |
3,560 | 105,874 | ||||||
Aveanna Healthcare Holdings, Inc. * |
3,393 | 3,529 | ||||||
Avidity Biosciences, Inc. * |
5,006 | 76,842 | ||||||
B&G Foods, Inc. |
5,463 | 84,840 | ||||||
Bakkt Holdings, Inc. * |
4,370 | 7,516 | ||||||
Barrett Business Services, Inc. |
47 | 4,166 | ||||||
Beachbody Co., Inc. * |
6,512 | 3,140 | ||||||
Beauty Health Co. * |
724 | 9,144 | ||||||
Benson Hill, Inc. * |
6,586 | 7,574 | ||||||
BioCryst Pharmaceuticals, Inc. * |
4,295 | 35,820 | ||||||
Biohaven Ltd. * |
1,791 | 24,465 | ||||||
BioLife Solutions, Inc. * |
2,450 | 53,287 | ||||||
Bionano Genomics, Inc. * |
22,430 | 24,897 | ||||||
Bioventus, Inc. Class A * |
2,147 | 2,297 | ||||||
Bioxcel Therapeutics, Inc. * |
1,431 | 26,702 | ||||||
Bird Global, Inc. Class A * |
20,795 | 5,821 | ||||||
Bluebird Bio, Inc. * |
7,707 | 24,508 | ||||||
Boxed, Inc. * |
6,406 | 1,216 | ||||||
Bridgebio Pharma, Inc. * |
3,185 | 52,807 | ||||||
Bright Health Group, Inc. * |
14,478 | 3,189 | ||||||
BrightView Holdings, Inc. * |
3,060 | 17,197 | ||||||
Brookdale Senior Living, Inc. * |
13,928 | 41,088 | ||||||
Butterfly Network, Inc. * |
9,971 | 18,745 | ||||||
C4 Therapeutics, Inc. * |
3,147 | 9,882 | ||||||
Cal-Maine Foods, Inc. |
223 | 13,578 | ||||||
Cara Therapeutics, Inc. * |
3,351 | 16,453 | ||||||
Cardiovascular Systems, Inc. * |
1,393 | 27,665 | ||||||
CareMax, Inc. * |
4,378 | 11,689 | ||||||
Caribou Biosciences, Inc. * |
4,196 | 22,281 | ||||||
Cass Information Systems, Inc. |
848 | 36,727 | ||||||
Castle Biosciences, Inc. * |
1,840 | 41,805 | ||||||
Celldex Therapeutics, Inc. * |
2,762 | 99,377 | ||||||
Central Garden & Pet Co. * |
485 | 19,914 | ||||||
Central Garden & Pet Co. Class A * |
2,017 | 78,804 | ||||||
Century Therapeutics, Inc. * |
1,501 | 5,208 | ||||||
Chefs Warehouse, Inc. * |
751 | 25,572 | ||||||
Chimerix, Inc. * |
1,689 | 2,128 | ||||||
Chinook Therapeutics, Inc. * |
3,906 | 90,424 | ||||||
Cipher Mining, Inc. * |
2,772 | 6,459 | ||||||
Cogent Biosciences, Inc. * |
5,007 | 54,026 | ||||||
Community Health Systems, Inc. * |
9,847 | 48,250 | ||||||
CompoSecure, Inc. * |
106 | 780 | ||||||
CoreCivic, Inc. * |
8,819 | 81,135 | ||||||
Crinetics Pharmaceuticals, Inc. * |
3,532 | 56,724 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
268
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Cross Country Healthcare, Inc. * |
2,432 | $ 54,282 | ||||||
CTI BioPharma Corp. * |
6,029 | 25,322 | ||||||
Cue Health, Inc. * |
8,244 | 15,004 | ||||||
Cullinan Oncology, Inc. * |
1,957 | 20,020 | ||||||
Custom Truck One Source, Inc. * |
3,120 | 21,185 | ||||||
Cytokinetics, Inc. * |
587 | 20,657 | ||||||
Day One Biopharmaceuticals, Inc. * |
2,072 | 27,703 | ||||||
Deciphera Pharmaceuticals, Inc. * |
2,914 | 45,021 | ||||||
Deluxe Corp. |
3,406 | 54,496 | ||||||
Design Therapeutics, Inc. * |
2,535 | 14,627 | ||||||
DICE Therapeutics, Inc. * |
2,735 | 78,358 | ||||||
Distribution Solutions Group, Inc. * |
51 | 2,318 | ||||||
Dyne Therapeutics, Inc. * |
2,373 | 27,337 | ||||||
Edgewell Personal Care Co. |
3,942 | 167,220 | ||||||
Edgewise Therapeutics, Inc. * |
2,850 | 19,009 | ||||||
Editas Medicine, Inc. * |
5,456 | 39,556 | ||||||
Eiger BioPharmaceuticals, Inc. * |
402 | 361 | ||||||
Embecta Corp. |
587 | 16,506 | ||||||
Emergent BioSolutions, Inc. * |
3,766 | 39,016 | ||||||
Enanta Pharmaceuticals, Inc. * |
1,391 | 56,252 | ||||||
Ennis, Inc. |
2,019 | 42,581 | ||||||
Enochian Biosciences, Inc. * |
2,038 | 1,865 | ||||||
EQRx, Inc. * |
15,051 | 29,199 | ||||||
Erasca, Inc. * |
5,396 | 16,242 | ||||||
European Wax Center, Inc. Class A |
205 | 3,895 | ||||||
EyePoint Pharmaceuticals, Inc. * |
1,650 | 4,851 | ||||||
FibroGen, Inc. * |
730 | 13,622 | ||||||
First Advantage Corp. * |
4,237 | 59,149 | ||||||
Fresh Del Monte Produce, Inc. |
2,369 | 71,331 | ||||||
Fulcrum Therapeutics, Inc. * |
3,847 | 10,964 | ||||||
Fulgent Genetics, Inc. * |
1,647 | 51,419 | ||||||
Gelesis Holdings, Inc. * |
1,158 | 188 | ||||||
GeneDx Holdings Corp. * |
25,626 | 9,353 | ||||||
Generation Bio Co. * |
3,612 | 15,532 | ||||||
GEO Group, Inc. * |
9,185 | 72,470 | ||||||
Geron Corp. * |
9,859 | 21,394 | ||||||
Graham Holdings Co. Class B |
282 | 168,027 | ||||||
Green Dot Corp. Class A * |
3,140 | 53,945 | ||||||
Greenidge Generation Holdings, Inc. * |
1,077 | 487 | ||||||
Hackett Group, Inc. |
166 | 3,068 | ||||||
Hain Celestial Group, Inc. * |
6,853 | 117,529 | ||||||
Healthcare Services Group, Inc. |
3,069 | 42,567 | ||||||
Heidrick & Struggles International, Inc. |
1,545 | 46,906 | ||||||
Herbalife Nutrition Ltd. * |
2,605 | 41,940 | ||||||
HF Foods Group, Inc. * |
2,896 | 11,352 | ||||||
HilleVax, Inc. * |
1,064 | 17,588 | ||||||
Honest Co., Inc. * |
4,920 | 8,856 | ||||||
Hostess Brands, Inc. * |
10,213 | 254,099 | ||||||
Huron Consulting Group, Inc. * |
626 | 50,312 | ||||||
ICF International, Inc. |
434 | 47,610 | ||||||
Icosavax, Inc. * |
1,670 | 9,686 | ||||||
Ideaya Biosciences, Inc. * |
3,483 | 47,822 | ||||||
IGM Biosciences, Inc. * |
179 | 2,459 | ||||||
ImmunityBio, Inc. * |
2,149 | 3,911 | ||||||
ImmunoGen, Inc. * |
8,123 | 31,192 | ||||||
Immunovant, Inc. * |
3,486 | 54,068 | ||||||
Inari Medical, Inc. * |
320 | 19,757 | ||||||
Information Services Group, Inc. |
1,439 | 7,325 | ||||||
Ingles Markets, Inc. Class A |
1,095 | 97,126 | ||||||
Innovage Holding Corp. * |
1,302 | 10,390 | ||||||
Inogen, Inc. * |
1,626 | 20,292 | ||||||
Inotiv, Inc. * |
1,342 | 5,811 | ||||||
Inovio Pharmaceuticals, Inc. * |
18,508 | 15,177 | ||||||
Instil Bio, Inc. * |
4,465 | 2,950 | ||||||
Integer Holdings Corp. * |
2,521 | 195,377 | ||||||
Intellia Therapeutics, Inc. * |
2,201 | 82,031 | ||||||
Invitae Corp. * |
18,245 | 24,631 | ||||||
Invivyd, Inc. * |
3,901 | 4,681 | ||||||
Iovance Biotherapeutics, Inc. * |
11,667 | 71,285 | ||||||
iTeos Therapeutics, Inc. * |
1,759 | 23,940 | ||||||
Janux Therapeutics, Inc. * |
1,291 | 15,621 | ||||||
John B Sanfilippo & Son, Inc. |
260 | 25,199 |
Shares |
Value |
|||||||
John Wiley & Sons, Inc. Class A |
186 | $ 7,211 | ||||||
Jounce Therapeutics, Inc. * |
3,166 | 5,857 | ||||||
KalVista Pharmaceuticals, Inc. * |
1,831 | 14,392 | ||||||
Kelly Services, Inc. Class A |
2,526 | 41,906 | ||||||
Keros Therapeutics, Inc. * |
60 | 2,562 | ||||||
Kezar Life Sciences, Inc. * |
3,935 | 12,317 | ||||||
Kiniksa Pharmaceuticals Ltd. Class A * |
140 | 1,506 | ||||||
Kinnate Biopharma, Inc. * |
2,207 | 13,794 | ||||||
Kodiak Sciences, Inc. * |
2,498 | 15,488 | ||||||
Krispy Kreme, Inc. |
4,134 | 64,284 | ||||||
Kronos Bio, Inc. * |
3,085 | 4,504 | ||||||
Krystal Biotech, Inc. * |
1,096 | 87,746 | ||||||
Kura Oncology, Inc. * |
5,077 | 62,092 | ||||||
Kymera Therapeutics, Inc. * |
2,909 | 86,194 | ||||||
Lancaster Colony Corp. |
238 | 48,285 | ||||||
Laureate Education, Inc. |
10,286 | 120,963 | ||||||
Leafly Holdings, Inc. * |
1,044 | 417 | ||||||
Lexicon Pharmaceuticals, Inc. * |
3,925 | 9,538 | ||||||
Lifecore Biomedical, Inc. * |
1,990 | 7,512 | ||||||
LifeStance Health Group, Inc. * |
5,059 | 37,588 | ||||||
Ligand Pharmaceuticals, Inc. * |
1,027 | 75,546 | ||||||
Liquidia Corp. * |
1,311 | 9,059 | ||||||
LivaNova PLC * |
1,006 | 43,841 | ||||||
LiveRamp Holdings, Inc. * |
4,882 | 107,062 | ||||||
Lyell Immunopharma, Inc. * |
12,969 | 30,607 | ||||||
MacroGenics, Inc. * |
4,518 | 32,394 | ||||||
MannKind Corp. * |
17,626 | 72,267 | ||||||
Marathon Digital Holdings, Inc. * |
9,057 | 78,977 | ||||||
MarketWise, Inc. * |
1,370 | 2,534 | ||||||
Matthews International Corp. Class A |
2,307 | 83,190 | ||||||
MaxCyte, Inc. * |
6,613 | 32,734 | ||||||
MeiraGTx Holdings PLC * |
2,282 | 11,798 | ||||||
Merit Medical Systems, Inc. * |
587 | 43,409 | ||||||
Mersana Therapeutics, Inc. * |
6,924 | 28,458 | ||||||
MiMedx Group, Inc. * |
8,458 | 28,842 | ||||||
Mineralys Therapeutics, Inc. * |
503 | 7,877 | ||||||
Mission Produce, Inc. * |
2,659 | 29,541 | ||||||
ModivCare, Inc. * |
684 | 57,511 | ||||||
MoneyGram International, Inc. * |
7,237 | 75,410 | ||||||
Moneylion, Inc. * |
10,405 | 5,908 | ||||||
Monro, Inc. |
2,391 | 118,187 | ||||||
Monte Rosa Therapeutics, Inc. * |
2,239 | 17,442 | ||||||
Morphic Holding, Inc. * |
280 | 10,539 | ||||||
Multiplan Corp. * |
28,397 | 30,101 | ||||||
Myriad Genetics, Inc. * |
6,084 | 141,331 | ||||||
Nano-X Imaging Ltd. * |
3,122 | 18,014 | ||||||
NanoString Technologies, Inc. * |
547 | 5,415 | ||||||
National HealthCare Corp. |
982 | 57,025 | ||||||
Natural Grocers by Vitamin Cottage, Inc. |
169 | 1,986 | ||||||
Natures Sunshine Products, Inc. * |
1,029 | 10,506 | ||||||
Nautilus Biotechnology, Inc. SPAC * |
3,668 | 10,160 | ||||||
Nektar Therapeutics * |
13,589 | 9,552 | ||||||
Neogen Corp. * |
1,315 | 24,354 | ||||||
NeoGenomics, Inc. * |
9,629 | 167,641 | ||||||
NGM Biopharmaceuticals, Inc. * |
1,199 | 4,892 | ||||||
Nkarta, Inc. * |
2,445 | 8,680 | ||||||
Nurix Therapeutics, Inc. * |
3,476 | 30,867 | ||||||
Nuvalent, Inc. Class A * |
1,590 | 41,483 | ||||||
Nuvation Bio, Inc. * |
8,751 | 14,527 | ||||||
OmniAb, Inc. * |
5,057 | 18,610 | ||||||
OPKO Health, Inc. * |
30,306 | 44,247 | ||||||
OraSure Technologies, Inc. * |
5,379 | 32,543 | ||||||
Orthofix Medical, Inc. * |
2,571 | 43,064 | ||||||
Oscar Health, Inc. Class A * |
9,040 | 59,122 | ||||||
Owens & Minor, Inc. * |
5,078 | 73,885 | ||||||
P3 Health Partners, Inc. * |
1,094 | 1,160 | ||||||
Pacific Biosciences of California, Inc. * |
18,948 | 219,418 | ||||||
Pardes Biosciences, Inc. * |
2,172 | 2,867 | ||||||
Patterson Cos., Inc. |
1,389 | 37,184 | ||||||
Paysafe Ltd. * |
2,106 | 36,371 | ||||||
Pediatrix Medical Group, Inc. * |
6,290 | 93,784 | ||||||
PepGen, Inc. * |
918 | 11,227 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
269
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Perdoceo Education Corp. * |
5,221 | $ 70,118 | ||||||
PetIQ, Inc. * |
417 | 4,770 | ||||||
PFSweb, Inc. |
1,270 | 5,385 | ||||||
PhenomeX, Inc. * |
4,254 | 4,935 | ||||||
Phibro Animal Health Corp. Class A |
107 | 1,639 | ||||||
PMV Pharmaceuticals, Inc. * |
2,752 | 13,127 | ||||||
Point Biopharma Global, Inc. SPAC * |
336 | 2,443 | ||||||
Praxis Precision Medicines, Inc. * |
4,093 | 3,311 | ||||||
Precigen, Inc. * |
1,853 | 1,964 | ||||||
Prestige Consumer Healthcare, Inc. * |
3,810 | 238,620 | ||||||
Prime Medicine, Inc. * |
451 | 5,547 | ||||||
Primo Water Corp. |
12,056 | 185,060 | ||||||
PROG Holdings, Inc. * |
3,256 | 77,460 | ||||||
Protagonist Therapeutics, Inc. * |
3,592 | 82,616 | ||||||
Provention Bio, Inc. * |
683 | 16,460 | ||||||
PTC Therapeutics, Inc. * |
1,334 | 64,619 | ||||||
Quad/Graphics, Inc. * |
2,440 | 10,468 | ||||||
Quanex Building Products Corp. |
2,606 | 56,107 | ||||||
Quanterix Corp. * |
2,207 | 24,873 | ||||||
Quantum-Si, Inc. * |
6,885 | 12,118 | ||||||
Rallybio Corp. * |
359 | 2,050 | ||||||
RAPT Therapeutics, Inc. * |
685 | 12,570 | ||||||
Reata Pharmaceuticals, Inc. Class A * |
343 | 31,186 | ||||||
Recursion Pharmaceuticals, Inc. Class A * |
9,627 | 64,212 | ||||||
REGENXBIO, Inc. * |
3,128 | 59,150 | ||||||
Relay Therapeutics, Inc. * |
6,011 | 99,001 | ||||||
Relmada Therapeutics, Inc. * |
865 | 1,955 | ||||||
Repay Holdings Corp. * |
6,957 | 45,707 | ||||||
Replimune Group, Inc. * |
3,617 | 63,876 | ||||||
Resources Connection, Inc. |
2,415 | 41,200 | ||||||
REVOLUTION Medicines, Inc. * |
5,701 | 123,484 | ||||||
Riot Platforms, Inc. * |
12,168 | 121,558 | ||||||
Rocket Pharmaceuticals, Inc. * |
4,320 | 74,002 | ||||||
RxSight, Inc. * |
124 | 2,068 | ||||||
Sabre Corp. * |
20,051 | 86,019 | ||||||
Sage Therapeutics, Inc. * |
3,985 | 167,211 | ||||||
Sana Biotechnology, Inc. * |
6,665 | 21,795 | ||||||
Sangamo Therapeutics, Inc. * |
9,427 | 16,592 | ||||||
Science 37 Holdings, Inc. * |
596 | 168 | ||||||
Scilex Holding Co. * |
6,404 | 52,513 | ||||||
Seer, Inc. * |
3,871 | 14,942 | ||||||
Select Medical Holdings Corp. |
1,272 | 32,881 | ||||||
Seneca Foods Corp. Class A * |
384 | 20,072 | ||||||
Singular Genomics Systems, Inc. * |
4,298 | 5,201 | ||||||
SomaLogic, Inc. * |
10,072 | 25,684 | ||||||
SpartanNash Co. |
2,708 | 67,158 | ||||||
Spire Global, Inc. * |
9,436 | 6,303 | ||||||
SpringWorks Therapeutics, Inc. * |
2,254 | 58,018 | ||||||
Sterling Check Corp. * |
210 | 2,341 | ||||||
Stoke Therapeutics, Inc. * |
1,681 | 14,003 | ||||||
StoneCo Ltd. Class A * (Brazil) |
10,235 | 97,642 | ||||||
Strategic Education, Inc. |
1,737 | 156,035 | ||||||
SunOpta, Inc. * (Canada) |
491 | 3,781 | ||||||
Supernus Pharmaceuticals, Inc. * |
3,795 | 137,493 | ||||||
Surgery Partners, Inc. * |
442 | 15,236 | ||||||
Sutro Biopharma, Inc. * |
4,038 | 18,656 | ||||||
Syndax Pharmaceuticals, Inc. * |
3,554 | 75,060 | ||||||
Tactile Systems Technology, Inc. * |
954 | 15,665 | ||||||
Talaris Therapeutics, Inc. * |
1,484 | 2,790 | ||||||
Tango Therapeutics, Inc. * |
3,506 | 13,849 | ||||||
Tarsus Pharmaceuticals, Inc. * |
1,379 | 17,334 | ||||||
Tattooed Chef, Inc. * |
441 | 626 | ||||||
Tejon Ranch Co. * |
1,568 | 28,647 | ||||||
Tenaya Therapeutics, Inc. * |
3,307 | 9,425 | ||||||
Textainer Group Holdings Ltd. (China) |
2,885 | 92,637 | ||||||
Theravance Biopharma, Inc. * |
527 | 5,718 | ||||||
Theseus Pharmaceuticals, Inc. * |
1,277 | 11,340 | ||||||
Third Harmonic Bio, Inc. * |
815 | 3,358 | ||||||
Tootsie Roll Industries, Inc. |
169 | 7,579 | ||||||
Travere Therapeutics, Inc. * |
416 | 9,356 | ||||||
TreeHouse Foods, Inc. * |
3,891 | 196,223 | ||||||
Triton International Ltd. (Bermuda) |
4,459 | 281,898 |
Shares |
Value |
|||||||
TrueBlue, Inc. * |
2,552 | $ 45,426 | ||||||
Twist Bioscience Corp. * |
1,285 | 19,378 | ||||||
Tyra Biosciences, Inc. * |
1,006 | 16,166 | ||||||
United Natural Foods, Inc. * |
4,260 | 112,251 | ||||||
Universal Corp. |
1,859 | 98,322 | ||||||
Utah Medical Products, Inc. |
33 | 3,127 | ||||||
Utz Brands, Inc. |
646 | 10,640 | ||||||
V2X, Inc. * |
901 | 35,788 | ||||||
Vanda Pharmaceuticals, Inc. * |
4,140 | 28,111 | ||||||
Varex Imaging Corp. * |
2,888 | 52,533 | ||||||
Vaxart, Inc. * |
7,595 | 5,747 | ||||||
VBI Vaccines, Inc. * |
14,739 | 4,466 | ||||||
Vector Group Ltd. |
9,451 | 113,506 | ||||||
Vera Therapeutics, Inc. * |
130 | 1,009 | ||||||
Veracyte, Inc. * |
5,481 | 122,226 | ||||||
Verve Therapeutics, Inc. * |
3,117 | 44,947 | ||||||
Viad Corp. * |
1,520 | 31,677 | ||||||
ViewRay, Inc. * |
1,252 | 4,332 | ||||||
Village Super Market, Inc. Class A |
644 | 14,735 | ||||||
Vintage Wine Estates, Inc. * |
3,337 | 3,571 | ||||||
Vir Biotechnology, Inc. * |
5,547 | 129,079 | ||||||
Viridian Therapeutics, Inc. * |
770 | 19,589 | ||||||
VistaGen Therapeutics, Inc. * |
4,412 | 550 | ||||||
Weis Markets, Inc. |
1,262 | 106,854 | ||||||
Whole Earth Brands, Inc. * |
3,041 | 7,785 | ||||||
Willdan Group, Inc. * |
793 | 12,387 | ||||||
WW International, Inc. * |
4,051 | 16,690 | ||||||
Xencor, Inc. * |
4,391 | 122,465 | ||||||
Zentalis Pharmaceuticals, Inc. * |
167 | 2,872 | ||||||
Zimvie, Inc. * |
1,557 | 11,257 | ||||||
|
|
|||||||
14,247,796 | ||||||||
|
|
|||||||
Energy - 5.3% |
| |||||||
Aemetis, Inc. * |
2,237 | 5,190 | ||||||
Alto Ingredients, Inc. * |
5,408 | 8,112 | ||||||
Amplify Energy Corp. * |
604 | 4,149 | ||||||
Archrock, Inc. |
10,396 | 101,569 | ||||||
Berry Corp. |
4,742 | 37,225 | ||||||
Borr Drilling Ltd. * (United Arab Emirates) |
8,554 | 64,839 | ||||||
Bristow Group, Inc. * |
1,748 | 39,155 | ||||||
California Resources Corp. |
5,665 | 218,102 | ||||||
Callon Petroleum Co. * |
614 | 20,532 | ||||||
Chord Energy Corp. |
1,290 | 173,634 | ||||||
Civitas Resources, Inc. |
5,642 | 385,574 | ||||||
Cleanspark, Inc. * |
5,394 | 14,995 | ||||||
CNX Resources Corp. * |
12,169 | 194,947 | ||||||
CONSOL Energy, Inc. |
148 | 8,624 | ||||||
Diamond Offshore Drilling, Inc. * |
7,832 | 94,297 | ||||||
DMC Global, Inc. * |
1,047 | 23,003 | ||||||
Dril-Quip, Inc. * |
2,600 | 74,594 | ||||||
Eneti, Inc. |
1,664 | 15,558 | ||||||
Equitrans Midstream Corp. |
23,969 | 138,541 | ||||||
Excelerate Energy, Inc. Class A |
1,388 | 30,730 | ||||||
Expro Group Holdings NV * |
6,640 | 121,910 | ||||||
FuelCell Energy, Inc. * |
8,394 | 23,923 | ||||||
FutureFuel Corp. |
1,935 | 14,280 | ||||||
Gevo, Inc. * |
14,716 | 22,663 | ||||||
Golar LNG Ltd. * (Cameroon) |
7,290 | 157,464 | ||||||
Green Plains, Inc. * |
4,028 | 124,828 | ||||||
Helix Energy Solutions Group, Inc. * |
11,050 | 85,527 | ||||||
Helmerich & Payne, Inc. |
7,865 | 281,174 | ||||||
Kinetik Holdings, Inc. |
1,127 | 35,275 | ||||||
Murphy Oil Corp. |
6,349 | 234,786 | ||||||
Nabors Industries Ltd. * |
83 | 10,119 | ||||||
NACCO Industries, Inc. Class A |
308 | 11,110 | ||||||
National Energy Services Reunited Corp. * |
2,854 | 15,012 | ||||||
Newpark Resources, Inc. * |
6,470 | 24,910 | ||||||
NextDecade Corp. * |
487 | 2,420 | ||||||
Noble Corp. PLC * |
5,290 | 208,796 | ||||||
Northern Oil & Gas, Inc. |
739 | 22,429 | ||||||
NOW, Inc. * |
8,505 | 94,831 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
270
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Oceaneering International, Inc. * |
700 | $ 12,341 | ||||||
Oil States International, Inc. * |
4,712 | 39,251 | ||||||
Patterson-UTI Energy, Inc. |
5,182 | 60,629 | ||||||
PBF Energy, Inc. Class A |
7,002 | 303,607 | ||||||
Peabody Energy Corp. * |
9,007 | 230,579 | ||||||
Permian Resources Corp. |
15,635 | 164,168 | ||||||
ProFrac Holding Corp. Class A * |
948 | 12,011 | ||||||
ProPetro Holding Corp. * |
6,857 | 49,302 | ||||||
REX American Resources Corp. * |
1,165 | 33,307 | ||||||
Riley Exploration Permian, Inc. |
300 | 11,418 | ||||||
Ring Energy, Inc. * |
4,160 | 7,904 | ||||||
Select Energy Services, Inc. Class A |
5,345 | 37,201 | ||||||
Stem, Inc. * |
522 | 2,960 | ||||||
SunCoke Energy, Inc. |
6,523 | 58,577 | ||||||
Sunnova Energy International, Inc. * |
7,625 | 119,103 | ||||||
Tidewater, Inc. * |
3,563 | 157,057 | ||||||
US Silica Holdings, Inc. * |
4,718 | 56,333 | ||||||
Vertex Energy, Inc. * |
457 | 4,515 | ||||||
W&T Offshore, Inc. * |
1,203 | 6,111 | ||||||
Warrior Met Coal, Inc. |
3,522 | 129,293 | ||||||
|
|
|||||||
4,640,494 | ||||||||
|
|
|||||||
Financial - 34.8% |
| |||||||
1st Source Corp. |
1,266 | 54,628 | ||||||
Acadia Realty Trust REIT |
6,962 | 97,120 | ||||||
ACNB Corp. |
649 | 21,125 | ||||||
AFC Gamma, Inc. REIT |
1,219 | 14,823 | ||||||
Agree Realty Corp. REIT |
6,697 | 459,481 | ||||||
Alerus Financial Corp. |
1,155 | 18,538 | ||||||
Alexander & Baldwin, Inc. REIT * |
5,435 | 102,776 | ||||||
Amalgamated Financial Corp. |
1,452 | 25,686 | ||||||
Ambac Financial Group, Inc. * |
3,478 | 53,839 | ||||||
Amerant Bancorp, Inc. |
2,193 | 47,720 | ||||||
American Assets Trust, Inc. REIT |
3,697 | 68,727 | ||||||
American Equity Investment Life Holding Co. |
5,417 | 197,666 | ||||||
American National Bankshares, Inc. |
809 | 25,645 | ||||||
American Realty Investors, Inc. * |
146 | 3,843 | ||||||
Ameris Bancorp |
5,082 | 185,900 | ||||||
AMERISAFE, Inc. |
1,490 | 72,936 | ||||||
Angel Oak Mortgage REIT, Inc. REIT |
895 | 6,534 | ||||||
Anywhere Real Estate, Inc. * |
8,519 | 44,980 | ||||||
Apartment Investment & Management Co. Class A REIT |
11,579 | 89,043 | ||||||
Apollo Commercial Real Estate Finance, Inc. REIT |
10,833 | 100,855 | ||||||
Apple Hospitality REIT, Inc. |
16,460 | 255,459 | ||||||
Applied Digital Corp. * |
3,067 | 6,870 | ||||||
Arbor Realty Trust, Inc. REIT |
12,635 | 145,176 | ||||||
Ares Commercial Real Estate Corp. REIT |
3,858 | 35,069 | ||||||
Argo Group International Holdings Ltd. |
2,459 | 72,024 | ||||||
Armada Hoffler Properties, Inc. REIT |
5,032 | 59,428 | ||||||
ARMOUR Residential REIT, Inc. |
12,595 | 66,124 | ||||||
Arrow Financial Corp. |
1,163 | 28,970 | ||||||
Artisan Partners Asset Management, Inc. Class A |
1,643 | 52,543 | ||||||
Ashford Hospitality Trust, Inc. REIT * |
2,569 | 8,247 | ||||||
AssetMark Financial Holdings, Inc. * |
1,692 | 53,213 | ||||||
Associated Banc-Corp. |
11,417 | 205,278 | ||||||
Associated Capital Group, Inc. Class A |
158 | 5,838 | ||||||
Atlantic Union Bankshares Corp. |
5,609 | 196,595 | ||||||
Atlanticus Holdings Corp. * |
101 | 2,740 | ||||||
Axos Financial, Inc. * |
3,855 | 142,327 | ||||||
Banc of California, Inc. |
3,844 | 48,165 | ||||||
BancFirst Corp. |
617 | 51,273 | ||||||
Banco Latinoamericano de Comercio Exterior SA Class E (Panama) |
2,212 | 38,445 | ||||||
Bancorp, Inc. * |
1,678 | 46,732 | ||||||
Bank First Corp. |
585 | 43,044 | ||||||
Bank of Marin Bancorp |
1,272 | 27,844 | ||||||
Bank of NT Butterfield & Son Ltd. (Bermuda) |
3,590 | 96,930 | ||||||
BankUnited, Inc. |
5,634 | 127,216 | ||||||
Bankwell Financial Group, Inc. |
458 | 11,386 | ||||||
Banner Corp. |
2,563 | 139,350 |
Shares |
Value |
|||||||
Bar Harbor Bankshares |
1,137 | $ 30,074 | ||||||
BayCom Corp. |
856 | 14,620 | ||||||
BCB Bancorp, Inc. |
1,252 | 16,439 | ||||||
Berkshire Hills Bancorp, Inc. |
3,201 | 80,217 | ||||||
BGC Partners, Inc. Class A |
24,122 | 126,158 | ||||||
Blackstone Mortgage Trust, Inc. Class A REIT |
13,181 | 235,281 | ||||||
Blue Foundry Bancorp * |
2,165 | 20,611 | ||||||
Blue Ridge Bankshares, Inc. |
1,380 | 14,076 | ||||||
Bluerock Homes Trust, Inc. REIT * |
287 | 5,688 | ||||||
Braemar Hotels & Resorts, Inc. REIT |
4,815 | 18,586 | ||||||
Brandywine Realty Trust REIT |
12,668 | 59,920 | ||||||
Bread Financial Holdings, Inc. |
3,745 | 113,548 | ||||||
Bridgewater Bancshares, Inc. * |
1,209 | 13,106 | ||||||
Brightsphere Investment Group, Inc. |
174 | 4,103 | ||||||
BrightSpire Capital, Inc. REIT |
7,056 | 41,630 | ||||||
Broadmark Realty Capital, Inc. REIT |
10,315 | 48,481 | ||||||
Broadstone Net Lease, Inc. REIT |
13,241 | 225,229 | ||||||
Brookfield Business Corp. Class A (Canada) |
226 | 4,479 | ||||||
Brookline Bancorp, Inc. |
6,352 | 66,696 | ||||||
BRT Apartments Corp. REIT |
903 | 17,807 | ||||||
Business First Bancshares, Inc. |
1,904 | 32,616 | ||||||
Byline Bancorp, Inc. |
1,954 | 42,246 | ||||||
Cadence Bank |
12,781 | 265,334 | ||||||
Cambridge Bancorp |
550 | 35,646 | ||||||
Camden National Corp. |
1,090 | 39,447 | ||||||
Cannae Holdings, Inc. * |
5,340 | 107,761 | ||||||
Capital Bancorp, Inc. |
691 | 11,498 | ||||||
Capital City Bank Group, Inc. |
1,036 | 30,365 | ||||||
Capitol Federal Financial, Inc. |
9,524 | 64,097 | ||||||
Capstar Financial Holdings, Inc. |
1,705 | 25,831 | ||||||
CareTrust REIT, Inc. |
6,986 | 136,786 | ||||||
Carter Bankshares, Inc. * |
1,794 | 25,116 | ||||||
Cathay General Bancorp |
5,338 | 184,268 | ||||||
CBL & Associates Properties, Inc. REIT |
1,770 | 45,383 | ||||||
Centerspace REIT |
1,127 | 61,568 | ||||||
Central Pacific Financial Corp. |
1,985 | 35,532 | ||||||
Chatham Lodging Trust REIT |
3,579 | 37,544 | ||||||
Chicago Atlantic Real Estate Finance, Inc. |
381 | 5,147 | ||||||
Chimera Investment Corp. REIT |
17,888 | 100,888 | ||||||
Citizens & Northern Corp. |
1,173 | 25,079 | ||||||
City Holding Co. |
1,106 | 100,513 | ||||||
City Office REIT, Inc. |
2,924 | 20,176 | ||||||
Civista Bancshares, Inc. |
1,196 | 20,188 | ||||||
Claros Mortgage Trust, Inc. REIT |
7,120 | 82,948 | ||||||
Clipper Realty, Inc. REIT |
405 | 2,325 | ||||||
CNB Financial Corp. |
1,521 | 29,203 | ||||||
CNO Financial Group, Inc. |
8,685 | 192,720 | ||||||
Colony Bankcorp, Inc. |
1,268 | 12,934 | ||||||
Columbia Financial, Inc. * |
1,791 | 32,739 | ||||||
Community Bank System, Inc. |
4,000 | 209,960 | ||||||
Community Healthcare Trust, Inc. REIT |
789 | 28,877 | ||||||
Community Trust Bancorp, Inc. |
1,242 | 47,134 | ||||||
Compass Diversified Holdings |
4,791 | 91,412 | ||||||
ConnectOne Bancorp, Inc. |
2,920 | 51,626 | ||||||
Consumer Portfolio Services, Inc. * |
707 | 7,558 | ||||||
Corporate Office Properties Trust REIT |
7,603 | 180,267 | ||||||
Crawford & Co. Class A |
1,208 | 10,099 | ||||||
CrossFirst Bankshares, Inc. * |
3,576 | 37,476 | ||||||
Cryptyde, Inc. * |
848 | 71 | ||||||
CTO Realty Growth, Inc. REIT |
1,777 | 30,671 | ||||||
Curo Group Holdings Corp. |
675 | 1,168 | ||||||
Customers Bancorp, Inc. * |
2,270 | 42,040 | ||||||
CVB Financial Corp. |
9,984 | 166,533 | ||||||
DiamondRock Hospitality Co. REIT |
16,047 | 130,462 | ||||||
Dime Community Bancshares, Inc. |
2,440 | 55,437 | ||||||
Diversified Healthcare Trust REIT |
17,854 | 24,103 | ||||||
Doma Holdings, Inc. * |
9,595 | 3,910 | ||||||
Donegal Group, Inc. Class A |
1,172 | 17,908 | ||||||
Douglas Elliman, Inc. |
5,278 | 16,415 | ||||||
Dynex Capital, Inc. REIT |
3,932 | 47,656 | ||||||
Eagle Bancorp, Inc. |
2,304 | 77,115 | ||||||
Easterly Government Properties, Inc. REIT |
6,811 | 93,583 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
271
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Eastern Bankshares, Inc. |
9,347 | $ 117,959 | ||||||
eHealth, Inc. * |
1,329 | 12,439 | ||||||
Ellington Financial, Inc. REIT |
4,952 | 60,464 | ||||||
Elme Communities REIT |
6,542 | 116,840 | ||||||
Empire State Realty Trust, Inc. Class A REIT |
9,962 | 64,653 | ||||||
Employers Holdings, Inc. |
2,036 | 84,881 | ||||||
Enact Holdings, Inc. |
2,361 | 53,972 | ||||||
Encore Capital Group, Inc. * |
1,786 | 90,104 | ||||||
Enova International, Inc. * |
2,301 | 102,233 | ||||||
Enstar Group Ltd. * |
860 | 199,339 | ||||||
Enterprise Bancorp, Inc. |
705 | 22,179 | ||||||
Enterprise Financial Services Corp. |
2,699 | 120,348 | ||||||
Equity Bancshares, Inc. Class A |
1,232 | 30,024 | ||||||
Equity Commonwealth REIT |
8,018 | 166,053 | ||||||
Esquire Financial Holdings, Inc. |
80 | 3,128 | ||||||
Essent Group Ltd. |
8,062 | 322,883 | ||||||
Essential Properties Realty Trust, Inc. REIT |
9,755 | 242,412 | ||||||
EZCORP, Inc. Class A * |
3,661 | 31,485 | ||||||
Farmers & Merchants Bancorp, Inc. |
674 | 16,392 | ||||||
Farmers National Banc Corp. |
2,813 | 35,556 | ||||||
Farmland Partners, Inc. REIT |
3,977 | 42,554 | ||||||
FB Financial Corp. |
2,770 | 86,092 | ||||||
Federal Agricultural Mortgage Corp. Class C |
704 | 93,766 | ||||||
Finance Of America Cos., Inc. Class A * |
3,068 | 3,804 | ||||||
Financial Institutions, Inc. |
1,260 | 24,293 | ||||||
First BanCorp |
12,488 | 142,613 | ||||||
First Bancorp, Inc. |
770 | 19,935 | ||||||
First Bancorp/Southern Pines NC |
2,871 | 101,978 | ||||||
First Bancshares, Inc. |
1,937 | 50,033 | ||||||
First Bank |
1,170 | 11,817 | ||||||
First Busey Corp. |
4,002 | 81,401 | ||||||
First Business Financial Services, Inc. |
602 | 18,367 | ||||||
First Commonwealth Financial Corp. |
7,612 | 94,617 | ||||||
First Community Bankshares, Inc. |
1,216 | 30,461 | ||||||
First Financial Bancorp |
6,976 | 151,868 | ||||||
First Financial Corp. |
897 | 33,620 | ||||||
First Foundation, Inc. |
4,135 | 30,806 | ||||||
First Guaranty Bancshares, Inc. |
431 | 6,754 | ||||||
First Internet Bancorp |
636 | 10,589 | ||||||
First Interstate BancSystem, Inc. Class A |
6,838 | 204,183 | ||||||
First Merchants Corp. |
4,382 | 144,387 | ||||||
First Mid Bancshares, Inc. |
1,442 | 39,251 | ||||||
First of Long Island Corp. |
1,775 | 23,963 | ||||||
First Western Financial, Inc. * |
623 | 12,335 | ||||||
Five Star Bancorp |
633 | 13,508 | ||||||
Flushing Financial Corp. |
2,243 | 33,398 | ||||||
Four Corners Property Trust, Inc. REIT |
5,813 | 156,137 | ||||||
Franklin BSP Realty Trust, Inc. REIT |
6,224 | 74,252 | ||||||
Franklin Street Properties Corp. REIT |
7,419 | 11,648 | ||||||
FRP Holdings, Inc. * |
518 | 29,982 | ||||||
Fulton Financial Corp. |
12,412 | 171,534 | ||||||
FVCBankcorp, Inc. * |
1,273 | 13,557 | ||||||
GCM Grosvenor, Inc. Class A |
596 | 4,655 | ||||||
Genworth Financial, Inc. Class A * |
37,068 | 186,081 | ||||||
German American Bancorp, Inc. |
2,113 | 70,511 | ||||||
Getty Realty Corp. REIT |
3,155 | 113,675 | ||||||
Glacier Bancorp, Inc. |
7,399 | 310,832 | ||||||
Gladstone Commercial Corp. REIT |
368 | 4,648 | ||||||
Gladstone Land Corp. REIT |
1,097 | 18,265 | ||||||
Global Medical REIT, Inc. |
4,573 | 41,660 | ||||||
Global Net Lease, Inc. REIT |
8,003 | 102,919 | ||||||
Goosehead Insurance, Inc. Class A * |
175 | 9,135 | ||||||
Granite Point Mortgage Trust, Inc. REIT |
3,876 | 19,225 | ||||||
Great Southern Bancorp, Inc. |
715 | 36,236 | ||||||
Greenlight Capital Re Ltd. Class A * |
1,984 | 18,630 | ||||||
Guaranty Bancshares, Inc. |
626 | 17,447 | ||||||
Hancock Whitney Corp. |
6,594 | 240,022 | ||||||
Hanmi Financial Corp. |
2,257 | 41,913 | ||||||
Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT |
6,231 | 178,207 | ||||||
HarborOne Bancorp, Inc. |
3,473 | 42,371 | ||||||
HBT Financial, Inc. |
915 | 18,044 |
Shares |
Value |
|||||||
Heartland Financial USA, Inc. |
3,143 | $ 120,566 | ||||||
Heritage Commerce Corp. |
4,696 | 39,118 | ||||||
Heritage Financial Corp. |
2,591 | 55,447 | ||||||
Hersha Hospitality Trust REIT |
2,202 | 14,797 | ||||||
Hilltop Holdings, Inc. |
3,820 | 113,339 | ||||||
Hingham Institution For Savings |
103 | 24,044 | ||||||
Hippo Holdings, Inc. * |
1,290 | 20,937 | ||||||
Home Bancorp, Inc. |
574 | 18,959 | ||||||
Home BancShares, Inc. |
14,385 | 312,298 | ||||||
Home Point Capital, Inc. |
1,033 | 1,994 | ||||||
HomeStreet, Inc. |
1,340 | 24,107 | ||||||
HomeTrust Bancshares, Inc. |
985 | 24,221 | ||||||
Hope Bancorp, Inc. |
8,651 | 84,953 | ||||||
Horace Mann Educators Corp. |
3,073 | 102,884 | ||||||
Horizon Bancorp, Inc. |
3,237 | 35,801 | ||||||
Independence Realty Trust, Inc. REIT |
17,183 | 275,444 | ||||||
Independent Bank Corp. |
3,429 | 225,011 | ||||||
Independent Bank Corp. MI |
1,511 | 26,850 | ||||||
Independent Bank Group, Inc. |
2,738 | 126,906 | ||||||
Indus Realty Trust, Inc. REIT |
432 | 28,637 | ||||||
Industrial Logistics Properties Trust REIT |
4,606 | 14,140 | ||||||
International Bancshares Corp. |
4,101 | 175,605 | ||||||
InvenTrust Properties Corp. REIT |
5,190 | 121,446 | ||||||
Invesco Mortgage Capital, Inc. REIT |
2,646 | 29,344 | ||||||
Investors Title Co. |
85 | 12,835 | ||||||
iStar, Inc. REIT * |
1,819 | 53,423 | ||||||
Jackson Financial, Inc. Class A |
5,723 | 214,097 | ||||||
James River Group Holdings Ltd. |
2,757 | 56,932 | ||||||
John Marshall Bancorp, Inc. |
900 | 19,440 | ||||||
Kearny Financial Corp. |
4,462 | 36,231 | ||||||
Kennedy-Wilson Holdings, Inc. |
9,035 | 149,891 | ||||||
Kite Realty Group Trust REIT |
16,670 | 348,736 | ||||||
KKR Real Estate Finance Trust, Inc. REIT |
4,505 | 51,312 | ||||||
Ladder Capital Corp. REIT |
8,795 | 83,113 | ||||||
Lakeland Bancorp, Inc. |
4,837 | 75,651 | ||||||
Lakeland Financial Corp. |
147 | 9,208 | ||||||
Legacy Housing Corp. * |
660 | 15,022 | ||||||
Lemonade, Inc. * |
3,693 | 52,662 | ||||||
LendingClub Corp. * |
7,854 | 56,627 | ||||||
Live Oak Bancshares, Inc. |
601 | 14,646 | ||||||
LTC Properties, Inc. REIT |
3,062 | 107,568 | ||||||
Luther Burbank Corp. |
1,189 | 11,272 | ||||||
LXP Industrial Trust REIT |
20,820 | 214,654 | ||||||
Macatawa Bank Corp. |
2,001 | 20,450 | ||||||
Macerich Co. REIT |
16,479 | 174,677 | ||||||
MBIA, Inc. * |
3,594 | 33,280 | ||||||
Mercantile Bank Corp. |
1,173 | 35,870 | ||||||
Merchants Bancorp |
1,184 | 30,831 | ||||||
Mercury General Corp. |
2,084 | 66,146 | ||||||
Metrocity Bankshares, Inc. |
1,093 | 18,679 | ||||||
Metropolitan Bank Holding Corp. * |
781 | 26,468 | ||||||
MFA Financial, Inc. REIT |
7,936 | 78,725 | ||||||
Mid Penn Bancorp, Inc. |
1,088 | 27,864 | ||||||
Midland States Bancorp, Inc. |
1,594 | 34,143 | ||||||
MidWestOne Financial Group, Inc. |
1,172 | 28,620 | ||||||
Moelis & Co. Class A |
2,448 | 94,101 | ||||||
Mr Cooper Group, Inc. * |
5,303 | 217,264 | ||||||
MVB Financial Corp. |
775 | 15,996 | ||||||
National Bank Holdings Corp. Class A |
2,025 | 67,757 | ||||||
National Health Investors, Inc. REIT |
3,195 | 164,798 | ||||||
National Western Life Group, Inc. Class A |
171 | 41,488 | ||||||
Navient Corp. |
7,811 | 124,898 | ||||||
NBT Bancorp, Inc. |
3,137 | 105,748 | ||||||
Necessity Retail REIT, Inc. REIT |
10,440 | 65,563 | ||||||
Nelnet, Inc. Class A |
1,121 | 103,009 | ||||||
NETSTREIT Corp. REIT |
4,245 | 77,599 | ||||||
New York Mortgage Trust, Inc. * |
6,933 | 69,053 | ||||||
Newmark Group, Inc. Class A |
9,741 | 68,966 | ||||||
Nexpoint Real Estate Finance, Inc. REIT |
613 | 9,606 | ||||||
NexPoint Residential Trust, Inc. REIT |
95 | 4,149 | ||||||
NI Holdings, Inc. * |
684 | 8,892 | ||||||
Nicolet Bankshares, Inc. * |
857 | 54,034 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
272
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
NMI Holdings, Inc. Class A * |
5,849 | $ 130,608 | ||||||
Northeast Bank |
494 | 16,628 | ||||||
Northfield Bancorp, Inc. |
3,183 | 37,496 | ||||||
Northwest Bancshares, Inc. |
9,110 | 109,593 | ||||||
OceanFirst Financial Corp. |
4,494 | 83,049 | ||||||
Office Properties Income Trust REIT |
3,588 | 44,132 | ||||||
OFG Bancorp |
3,483 | 86,866 | ||||||
Old National Bancorp |
22,439 | 323,570 | ||||||
Old Second Bancorp, Inc. |
3,345 | 47,031 | ||||||
One Liberty Properties, Inc. REIT |
1,238 | 28,387 | ||||||
Oportun Financial Corp. * |
2,090 | 8,067 | ||||||
Oppenheimer Holdings, Inc. Class A |
587 | 22,981 | ||||||
OppFi, Inc. * |
1,461 | 2,995 | ||||||
Orchid Island Capital, Inc. REIT |
3,017 | 32,372 | ||||||
Origin Bancorp, Inc. |
1,759 | 56,552 | ||||||
Orion Office REIT, Inc. REIT |
4,237 | 28,388 | ||||||
Orrstown Financial Services, Inc. |
814 | 16,166 | ||||||
Pacific Premier Bancorp, Inc. |
7,009 | 168,356 | ||||||
Paramount Group, Inc. REIT |
14,571 | 66,444 | ||||||
Park National Corp. |
1,097 | 130,071 | ||||||
Parke Bancorp, Inc. |
777 | 13,815 | ||||||
Pathward Financial, Inc. |
1,472 | 61,073 | ||||||
PCB Bancorp |
859 | 12,447 | ||||||
Peapack-Gladstone Financial Corp. |
1,298 | 38,447 | ||||||
Pebblebrook Hotel Trust REIT |
9,718 | 136,441 | ||||||
PennyMac Financial Services, Inc. |
2,048 | 122,081 | ||||||
PennyMac Mortgage Investment Trust REIT |
5,362 | 66,113 | ||||||
Peoples Bancorp, Inc. |
2,183 | 56,212 | ||||||
Peoples Financial Services Corp. |
550 | 23,843 | ||||||
Perella Weinberg Partners |
312 | 2,839 | ||||||
Physicians Realty Trust REIT |
17,440 | 260,379 | ||||||
Piedmont Office Realty Trust, Inc. Class A REIT |
9,540 | 69,642 | ||||||
Pioneer Bancorp, Inc. * |
950 | 9,367 | ||||||
Piper Sandler Cos. |
1,330 | 184,351 | ||||||
Plymouth Industrial REIT, Inc. REIT |
2,839 | 59,647 | ||||||
Postal Realty Trust, Inc. Class A REIT |
570 | 8,675 | ||||||
PotlatchDeltic Corp. REIT |
5,522 | 273,339 | ||||||
PRA Group, Inc. * |
2,947 | 114,815 | ||||||
Preferred Bank |
417 | 22,856 | ||||||
Premier Financial Corp. |
2,774 | 57,505 | ||||||
Primis Financial Corp. |
1,691 | 16,284 | ||||||
ProAssurance Corp. |
4,021 | 74,308 | ||||||
Provident Bancorp, Inc. |
1,075 | 7,353 | ||||||
Provident Financial Services, Inc. |
5,464 | 104,800 | ||||||
QCR Holdings, Inc. |
1,250 | 54,888 | ||||||
Radian Group, Inc. |
11,782 | 260,382 | ||||||
Radius Global Infrastructure, Inc. Class A * |
5,914 | 86,758 | ||||||
RBB Bancorp |
1,151 | 17,841 | ||||||
RE/MAX Holdings, Inc. Class A |
1,322 | 24,801 | ||||||
Ready Capital Corp. REIT |
5,614 | 57,094 | ||||||
Red River Bancshares, Inc. |
332 | 15,973 | ||||||
Redwood Trust, Inc. REIT |
8,492 | 57,236 | ||||||
Regional Management Corp. |
563 | 14,689 | ||||||
Renasant Corp. |
4,104 | 125,500 | ||||||
Republic Bancorp, Inc. Class A |
669 | 28,386 | ||||||
Republic First Bancorp, Inc. * |
4,635 | 6,304 | ||||||
Retail Opportunity Investments Corp. REIT |
9,227 | 128,809 | ||||||
RLJ Lodging Trust REIT |
12,271 | 130,073 | ||||||
RMR Group, Inc. Class A |
435 | 11,414 | ||||||
Root, Inc. Class A * |
955 | 4,307 | ||||||
RPT Realty REIT |
6,330 | 60,198 | ||||||
Ryman Hospitality Properties, Inc. REIT |
4,117 | 369,418 | ||||||
S&T Bancorp, Inc. |
2,930 | 92,149 | ||||||
Sabra Health Care REIT, Inc. |
17,660 | 203,090 | ||||||
Safety Insurance Group, Inc. |
1,068 | 79,587 | ||||||
Sandy Spring Bancorp, Inc. |
3,359 | 87,267 | ||||||
Saul Centers, Inc. REIT |
87 | 3,393 | ||||||
Sculptor Capital Management, Inc. |
966 | 8,317 | ||||||
Seacoast Banking Corp. of Florida |
5,395 | 127,862 | ||||||
Selective Insurance Group, Inc. |
4,566 | 435,277 | ||||||
Selectquote, Inc. * |
10,175 | 22,080 | ||||||
Service Properties Trust REIT |
12,566 | 125,157 |
Shares |
Value |
|||||||
Shore Bancshares, Inc. |
1,487 | $ 21,234 | ||||||
Sierra Bancorp |
1,171 | 20,165 | ||||||
Silvercrest Asset Management Group, Inc. Class A |
151 | 2,745 | ||||||
Simmons First National Corp. Class A |
9,114 | 159,404 | ||||||
SiriusPoint Ltd. * (Bermuda) |
6,335 | 51,504 | ||||||
SITE Centers Corp. REIT |
14,695 | 180,455 | ||||||
Skyward Specialty Insurance Group, Inc. * |
705 | 15,418 | ||||||
SmartFinancial, Inc. |
1,184 | 27,398 | ||||||
South Plains Financial, Inc. |
752 | 16,100 | ||||||
Southern First Bancshares, Inc. * |
642 | 19,709 | ||||||
Southern Missouri Bancorp, Inc. |
637 | 23,830 | ||||||
Southside Bancshares, Inc. |
2,246 | 74,567 | ||||||
SouthState Corp. |
5,737 | 408,819 | ||||||
STAG Industrial, Inc. REIT |
13,804 | 466,851 | ||||||
Star Holdings * |
1,010 | 17,564 | ||||||
Stellar Bancorp, Inc. |
3,502 | 86,184 | ||||||
Sterling Bancorp, Inc. * |
1,330 | 7,528 | ||||||
Stewart Information Services Corp. |
2,005 | 80,902 | ||||||
Stock Yards Bancorp, Inc. |
377 | 20,788 | ||||||
StoneX Group, Inc. * |
1,225 | 126,824 | ||||||
Stratus Properties, Inc. |
451 | 9,020 | ||||||
Summit Financial Group, Inc. |
859 | 17,824 | ||||||
Summit Hotel Properties, Inc. REIT |
7,843 | 54,901 | ||||||
Sunlight Financial Holdings, Inc. * |
2,771 | 865 | ||||||
Sunstone Hotel Investors, Inc. REIT |
16,229 | 160,343 | ||||||
SWK Holdings Corp. * |
275 | 4,912 | ||||||
Terreno Realty Corp. REIT |
6,172 | 398,711 | ||||||
Texas Capital Bancshares, Inc. * |
3,699 | 181,103 | ||||||
Third Coast Bancshares, Inc. * |
917 | 14,406 | ||||||
Tiptree, Inc. |
1,870 | 27,246 | ||||||
Tompkins Financial Corp. |
1,049 | 69,454 | ||||||
Towne Bank |
5,296 | 141,138 | ||||||
TPG RE Finance Trust, Inc. REIT |
5,184 | 37,636 | ||||||
Transcontinental Realty Investors, Inc. REIT * |
99 | 4,197 | ||||||
Trean Insurance Group, Inc. * |
1,677 | 10,263 | ||||||
TriCo Bancshares |
2,407 | 100,107 | ||||||
Triumph Financial, Inc. * |
1,084 | 62,937 | ||||||
TrustCo Bank Corp. |
1,395 | 44,556 | ||||||
Trustmark Corp. |
4,587 | 113,299 | ||||||
Two Harbors Investment Corp. REIT |
7,415 | 109,075 | ||||||
UMB Financial Corp. |
3,368 | 194,401 | ||||||
UMH Properties, Inc. REIT |
699 | 10,338 | ||||||
United Bankshares, Inc. |
9,989 | 351,613 | ||||||
United Community Banks, Inc. |
7,964 | 223,948 | ||||||
United Fire Group, Inc. |
1,604 | 42,586 | ||||||
Uniti Group, Inc. REIT |
18,484 | 65,618 | ||||||
Unity Bancorp, Inc. |
552 | 12,591 | ||||||
Universal Insurance Holdings, Inc. |
1,587 | 28,915 | ||||||
Univest Financial Corp. |
2,266 | 53,795 | ||||||
Urban Edge Properties REIT |
8,762 | 131,956 | ||||||
Urstadt Biddle Properties, Inc. Class A REIT |
2,146 | 37,705 | ||||||
USCB Financial Holdings, Inc. * |
856 | 8,466 | ||||||
Valley National Bancorp |
32,961 | 304,560 | ||||||
Velocity Financial, Inc. * |
607 | 5,481 | ||||||
Veris Residential, Inc. REIT * |
6,623 | 96,961 | ||||||
Veritex Holdings, Inc. |
3,353 | 61,226 | ||||||
Victory Capital Holdings, Inc. Class A |
852 | 24,938 | ||||||
Virtus Investment Partners, Inc. |
464 | 88,341 | ||||||
Walker & Dunlop, Inc. |
731 | 55,680 | ||||||
Washington Federal, Inc. |
4,848 | 146,022 | ||||||
Washington Trust Bancorp, Inc. |
1,350 | 46,791 | ||||||
Waterstone Financial, Inc. |
1,579 | 23,890 | ||||||
WesBanco, Inc. |
4,383 | 134,558 | ||||||
West BanCorp, Inc. |
1,014 | 18,526 | ||||||
Westamerica BanCorp |
1,459 | 64,634 | ||||||
Whitestone REIT |
3,511 | 32,301 | ||||||
World Acceptance Corp. * |
89 | 7,413 | ||||||
WSFS Financial Corp. |
4,586 | 172,479 | ||||||
Xenia Hotels & Resorts, Inc. REIT |
8,565 | 112,116 | ||||||
|
|
|||||||
30,614,909 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
273
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Industrial - 12.8% |
|
|||||||
908 Devices, Inc. * |
1,277 | $10,982 | ||||||
AAR Corp. * |
2,532 | 138,121 | ||||||
Aerojet Rocketdyne Holdings, Inc. * |
1,509 | 84,761 | ||||||
AerSale Corp. * |
1,850 | 31,857 | ||||||
Air Transport Services Group, Inc. * |
2,811 | 58,553 | ||||||
Akoustis Technologies, Inc. * |
361 | 1,112 | ||||||
Alamo Group, Inc. |
113 | 20,810 | ||||||
Albany International Corp. Class A |
1,918 | 171,393 | ||||||
Allied Motion Technologies, Inc. |
131 | 5,063 | ||||||
American Woodmark Corp. * |
1,218 | 63,421 | ||||||
AMMO, Inc. * |
6,628 | 13,057 | ||||||
ArcBest Corp. |
1,250 | 115,525 | ||||||
Archer Aviation, Inc. Class A * |
10,867 | 31,080 | ||||||
Arcosa, Inc. |
3,706 | 233,886 | ||||||
Ardmore Shipping Corp. (Ireland) |
3,228 | 48,000 | ||||||
Argan, Inc. |
968 | 39,175 | ||||||
Astec Industries, Inc. |
1,711 | 70,579 | ||||||
Astra Space, Inc. * |
11,686 | 4,967 | ||||||
Astronics Corp. * |
1,919 | 25,638 | ||||||
Atlas Technical Consultants, Inc. * |
559 | 6,814 | ||||||
Barnes Group, Inc. |
3,746 | 150,889 | ||||||
Belden, Inc. |
1,517 | 131,630 | ||||||
Benchmark Electronics, Inc. |
2,726 | 64,579 | ||||||
Boise Cascade Co. |
2,391 | 151,231 | ||||||
Brady Corp. Class A |
806 | 43,306 | ||||||
Caesarstone Ltd. |
1,706 | 7,046 | ||||||
Centrus Energy Corp. Class A * |
797 | 25,663 | ||||||
Chase Corp. |
427 | 44,720 | ||||||
CIRCOR International, Inc. * |
987 | 30,715 | ||||||
Clearwater Paper Corp. * |
1,328 | 44,382 | ||||||
Columbus McKinnon Corp. |
2,175 | 80,823 | ||||||
Comtech Telecommunications Corp. |
1,944 | 24,261 | ||||||
Concrete Pumping Holdings, Inc. * |
1,934 | 13,151 | ||||||
Costamare, Inc. (Monaco) |
3,953 | 37,198 | ||||||
Covenant Logistics Group, Inc. |
700 | 24,794 | ||||||
CryoPort, Inc. * |
609 | 14,616 | ||||||
DHT Holdings, Inc. |
10,492 | 113,419 | ||||||
Dorian LPG Ltd. |
2,421 | 48,275 | ||||||
Ducommun, Inc. * |
878 | 48,035 | ||||||
DXP Enterprises, Inc. * |
1,141 | 30,716 | ||||||
Eagle Bulk Shipping, Inc. |
1,060 | 48,230 | ||||||
Eastman Kodak Co. * |
4,280 | 17,548 | ||||||
Encore Wire Corp. |
1,354 | 250,937 | ||||||
EnerSys |
2,765 | 240,223 | ||||||
EnPro Industries, Inc. |
1,592 | 165,393 | ||||||
ESCO Technologies, Inc. |
1,792 | 171,046 | ||||||
ESS Tech, Inc. * |
784 | 1,090 | ||||||
Evolv Technologies Holdings, Inc. * |
6,319 | 19,715 | ||||||
FARO Technologies, Inc. * |
1,303 | 32,067 | ||||||
Fathom Digital Manufacturing C Class A * |
1,317 | 715 | ||||||
FLEX LNG Ltd. * (Norway) |
2,238 | 75,152 | ||||||
Fluor Corp. * |
926 | 28,623 | ||||||
Frontdoor, Inc. * |
6,333 | 176,564 | ||||||
Frontline PLC |
9,540 | 157,982 | ||||||
GATX Corp. |
2,538 | 279,231 | ||||||
Genco Shipping & Trading Ltd. |
2,908 | 45,539 | ||||||
Gibraltar Industries, Inc. * |
2,386 | 115,721 | ||||||
Golden Ocean Group Ltd. * (Norway) |
9,468 | 90,135 | ||||||
GoPro, Inc. Class A * |
10,139 | 50,999 | ||||||
Gorman-Rupp Co. |
1,400 | 35,000 | ||||||
Granite Construction, Inc. |
3,385 | 139,056 | ||||||
Great Lakes Dredge & Dock Corp. * |
3,679 | 19,977 | ||||||
Greenbrier Cos., Inc. |
2,476 | 79,653 | ||||||
Greif, Inc. Class A |
1,626 | 103,040 | ||||||
Greif, Inc. Class B |
354 | 27,088 | ||||||
Griffon Corp. |
1,687 | 54,001 | ||||||
Harsco Corp. * |
5,885 | 40,195 | ||||||
Heartland Express, Inc. |
3,666 | 58,363 | ||||||
Heritage-Crystal Clean, Inc. * |
1,176 | 41,877 | ||||||
Hillenbrand, Inc. |
2,652 | 126,050 |
Shares |
Value |
|||||||
Hillman Solutions Corp. * |
10,397 | $ 87,543 | ||||||
Hub Group, Inc. Class A * |
2,469 | 207,248 | ||||||
Hydrofarm Holdings Group, Inc. * |
3,295 | 5,700 | ||||||
Hyster-Yale Materials Handling, Inc. |
812 | 40,511 | ||||||
Ichor Holdings Ltd. * |
2,188 | 71,635 | ||||||
IES Holdings, Inc. * |
208 | 8,963 | ||||||
International Seaways, Inc. |
3,725 | 155,258 | ||||||
Itron, Inc. * |
3,172 | 175,887 | ||||||
JELD-WEN Holding, Inc. * |
4,139 | 52,400 | ||||||
Joby Aviation, Inc. * |
1,742 | 7,560 | ||||||
Kaman Corp. |
2,098 | 47,960 | ||||||
Kennametal, Inc. |
6,226 | 171,713 | ||||||
Kimball Electronics, Inc. * |
1,801 | 43,404 | ||||||
Knowles Corp. * |
6,854 | 116,518 | ||||||
Kratos Defense & Security Solutions, Inc. * |
9,454 | 127,440 | ||||||
Li-Cycle Holdings Corp. * (Canada) |
6,313 | 35,542 | ||||||
Luxfer Holdings PLC (United Kingdom) |
1,223 | 20,669 | ||||||
Manitowoc Co., Inc. * |
2,750 | 46,998 | ||||||
Marten Transport Ltd. |
1,115 | 23,359 | ||||||
Materion Corp. |
95 | 11,020 | ||||||
Matson, Inc. |
2,859 | 170,597 | ||||||
Mirion Technologies, Inc. * |
10,591 | 90,447 | ||||||
Modine Manufacturing Co. * |
3,846 | 88,650 | ||||||
Momentus, Inc. * |
4,592 | 2,686 | ||||||
Moog, Inc. Class A |
1,824 | 183,768 | ||||||
Mueller Industries, Inc. |
2,740 | 201,335 | ||||||
National Presto Industries, Inc. |
385 | 27,755 | ||||||
NEXTracker, Inc. Class A * |
273 | 9,899 | ||||||
NL Industries, Inc. |
913 | 5,533 | ||||||
nLight, Inc. * |
3,335 | 33,950 | ||||||
Nordic American Tankers Ltd. |
16,035 | 63,499 | ||||||
Northwest Pipe Co. * |
583 | 18,207 | ||||||
NuScale Power Corp. * |
2,347 | 21,334 | ||||||
O-I Glass, Inc. * |
2,294 | 52,097 | ||||||
Olympic Steel, Inc. |
721 | 37,643 | ||||||
OSI Systems, Inc. * |
1,098 | 112,391 | ||||||
Pactiv Evergreen, Inc. |
3,263 | 26,104 | ||||||
Park Aerospace Corp. |
1,467 | 19,731 | ||||||
Plexus Corp. * |
324 | 31,613 | ||||||
Powell Industries, Inc. |
685 | 29,174 | ||||||
Primoris Services Corp. |
3,852 | 94,990 | ||||||
Proto Labs, Inc. * |
1,785 | 59,173 | ||||||
PureCycle Technologies, Inc. * |
1,652 | 11,564 | ||||||
Radiant Logistics, Inc. * |
2,121 | 13,914 | ||||||
Ranpak Holdings Corp. * |
3,259 | 17,012 | ||||||
RBC Bearings, Inc. * |
1,868 | 434,740 | ||||||
Redwire Corp. * |
1,829 | 5,542 | ||||||
Ryerson Holding Corp. |
1,445 | 52,569 | ||||||
Safe Bulkers, Inc. (Greece) |
5,370 | 19,815 | ||||||
Sanmina Corp. * |
4,363 | 266,099 | ||||||
Scorpio Tankers, Inc. (Monaco) |
3,598 | 202,603 | ||||||
SFL Corp. Ltd. (Norway) |
8,575 | 81,463 | ||||||
Sight Sciences, Inc. * |
1,485 | 12,979 | ||||||
Smith & Wesson Brands, Inc. |
3,169 | 39,010 | ||||||
SPX Technologies, Inc. * |
3,350 | 236,443 | ||||||
Standex International Corp. |
908 | 111,176 | ||||||
Sterling Infrastructure, Inc. * |
345 | 13,069 | ||||||
Stoneridge, Inc. * |
1,669 | 31,210 | ||||||
Sturm Ruger & Co., Inc. |
119 | 6,835 | ||||||
Summit Materials, Inc. Class A * |
9,097 | 259,174 | ||||||
Teekay Corp. * (Bermuda) |
5,152 | 31,839 | ||||||
Teekay Tankers Ltd. Class A * (Canada) |
1,771 | 76,029 | ||||||
Tennant Co. |
810 | 55,509 | ||||||
Terex Corp. |
2,592 | 125,401 | ||||||
Thermon Group Holdings, Inc. * |
2,585 | 64,418 | ||||||
TimkenSteel Corp. * |
3,469 | 63,621 | ||||||
Tredegar Corp. |
2,048 | 18,698 | ||||||
TriMas Corp. |
3,236 | 90,155 | ||||||
Trinity Industries, Inc. |
5,343 | 130,156 | ||||||
Triumph Group, Inc. * |
5,026 | 58,251 | ||||||
TTM Technologies, Inc. * |
7,790 | 105,087 | ||||||
Turtle Beach Corp. * |
409 | 4,098 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
274
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Tutor Perini Corp. * |
3,157 | $19,479 | ||||||
UFP Industries, Inc. |
586 | 46,569 | ||||||
Universal Logistics Holdings, Inc. |
193 | 5,626 | ||||||
View, Inc. * |
13,096 | 6,548 | ||||||
Vishay Intertechnology, Inc. |
9,936 | 224,752 | ||||||
Vishay Precision Group, Inc. * |
988 | 41,259 | ||||||
Werner Enterprises, Inc. |
4,256 | 193,605 | ||||||
Worthington Industries, Inc. |
2,404 | 155,419 | ||||||
|
|
|||||||
11,165,093 | ||||||||
|
|
|||||||
Technology - 3.8% |
| |||||||
3D Systems Corp. * |
9,732 | 104,327 | ||||||
ACM Research, Inc. Class A * |
3,108 | 36,364 | ||||||
ACV Auctions, Inc. Class A * |
4,699 | 60,664 | ||||||
Adeia, Inc. |
8,107 | 71,828 | ||||||
Alpha & Omega Semiconductor Ltd. * |
361 | 9,729 | ||||||
American Software, Inc. Class A |
614 | 7,743 | ||||||
Amkor Technology, Inc. |
6,188 | 161,012 | ||||||
Avid Technology, Inc. * |
971 | 31,053 | ||||||
AvidXchange Holdings, Inc. * |
1,172 | 9,142 | ||||||
AXT, Inc. * |
3,088 | 12,290 | ||||||
Bandwidth, Inc. Class A * |
1,400 | 21,280 | ||||||
Blackbaud, Inc. * |
182 | 12,613 | ||||||
Blend Labs, Inc. Class A * |
14,218 | 14,164 | ||||||
Brightcove, Inc. * |
974 | 4,334 | ||||||
C3.ai, Inc. Class A * |
3,732 | 125,283 | ||||||
Cantaloupe, Inc. * |
1,713 | 9,764 | ||||||
Cardlytics, Inc. * |
2,379 | 8,077 | ||||||
Cerence, Inc. * |
3,117 | 87,557 | ||||||
Cohu, Inc. * |
3,599 | 138,166 | ||||||
Computer Programs & Systems, Inc. * |
1,055 | 31,861 | ||||||
Conduent, Inc. * |
13,442 | 46,106 | ||||||
Consensus Cloud Solutions, Inc. * |
734 | 25,022 | ||||||
Corsair Gaming, Inc. * |
1,328 | 24,369 | ||||||
Cvent Holding Corp. * |
3,447 | 28,817 | ||||||
Daily Journal Corp. * |
92 | 26,216 | ||||||
Desktop Metal, Inc. Class A * |
20,089 | 46,205 | ||||||
Diebold Nixdorf, Inc. * |
1,182 | 1,418 | ||||||
Digi International, Inc. * |
1,799 | 60,590 | ||||||
Digimarc Corp. * |
83 | 1,631 | ||||||
Diodes, Inc. * |
940 | 87,194 | ||||||
Donnelley Financial Solutions, Inc. * |
1,838 | 75,101 | ||||||
E2open Parent Holdings, Inc. * |
15,366 | 89,430 | ||||||
Ebix, Inc. |
1,554 | 20,497 | ||||||
eGain Corp. * |
918 | 6,968 | ||||||
EverCommerce, Inc. * |
1,559 | 16,494 | ||||||
Faraday Future Intelligent Electric, Inc. * |
17,172 | 6,081 | ||||||
Fastly, Inc. Class A * |
8,684 | 154,228 | ||||||
ForgeRock, Inc. Class A * |
907 | 18,684 | ||||||
Health Catalyst, Inc. * |
4,326 | 50,484 | ||||||
Impinj, Inc. * |
148 | 20,057 | ||||||
Insight Enterprises, Inc. * |
387 | 55,326 | ||||||
Inspired Entertainment, Inc. * |
499 | 6,382 | ||||||
Instructure Holdings, Inc. * |
1,112 | 28,801 | ||||||
Integral Ad Science Holding Corp. * |
1,930 | 27,541 | ||||||
IonQ, Inc. * |
7,817 | 48,075 | ||||||
Kaleyra, Inc. * (Italy) |
864 | 1,426 | ||||||
Latch, Inc. * |
8,276 | 6,307 | ||||||
LiveVox Holdings, Inc. * |
1,773 | 5,479 | ||||||
Markforged Holding Corp. * |
7,436 | 7,130 | ||||||
Matterport, Inc. * |
4,618 | 12,607 | ||||||
Maximus, Inc. |
252 | 19,832 | ||||||
MicroStrategy, Inc. Class A * |
306 | 89,450 | ||||||
Mitek Systems, Inc. * |
221 | 2,119 | ||||||
N-Able, Inc. * |
644 | 8,501 | ||||||
NetScout Systems, Inc. * |
5,189 | 148,665 | ||||||
NextGen Healthcare, Inc. * |
2,124 | 36,979 | ||||||
Olo, Inc. Class A * |
7,063 | 57,634 | ||||||
ON24, Inc. * |
3,171 | 27,778 | ||||||
OneSpan, Inc. * |
1,918 | 33,565 | ||||||
Ouster, Inc. * |
20,993 | 17,565 |
Shares |
Value |
|||||||
Outbrain, Inc. * |
2,767 | $ 11,428 | ||||||
PAR Technology Corp. * |
1,317 | 44,725 | ||||||
Parsons Corp. * |
2,575 | 115,205 | ||||||
Pear Therapeutics, Inc. * |
4,327 | 1,103 | ||||||
Photronics, Inc. * |
1,220 | 20,228 | ||||||
Phreesia, Inc. * |
2,022 | 65,290 | ||||||
Playstudios, Inc. * |
3,005 | 11,088 | ||||||
Porch Group, Inc. * |
6,157 | 8,804 | ||||||
PowerSchool Holdings, Inc. Class A * |
2,363 | 46,835 | ||||||
PROS Holdings, Inc. * |
1,095 | 30,003 | ||||||
PubMatic, Inc. Class A * |
301 | 4,160 | ||||||
Rackspace Technology, Inc. * |
4,301 | 8,086 | ||||||
Rambus, Inc. * |
1,335 | 68,432 | ||||||
Rigetti Computing, Inc. Class A * |
9,241 | 6,685 | ||||||
Sapiens International Corp. NV (Israel) |
663 | 14,400 | ||||||
SecureWorks Corp. Class A * |
761 | 6,522 | ||||||
Sharecare, Inc. * |
23,473 | 33,332 | ||||||
Skillsoft Corp. * |
6,126 | 12,252 | ||||||
Skillz, Inc. * |
23,514 | 13,948 | ||||||
SolarWinds Corp. * |
3,614 | 31,080 | ||||||
Sumo Logic, Inc. * |
3,290 | 39,414 | ||||||
Ultra Clean Holdings, Inc. * |
2,302 | 76,334 | ||||||
Unisys Corp. * |
1,262 | 4,897 | ||||||
Upland Software, Inc. * |
2,206 | 9,486 | ||||||
Veeco Instruments, Inc. * |
879 | 18,573 | ||||||
Veradigm, Inc. * |
8,067 | 105,274 | ||||||
Verint Systems, Inc. * |
430 | 16,013 | ||||||
Vuzix Corp. * |
831 | 3,440 | ||||||
WM Technology, Inc. * |
735 | 624 | ||||||
Xerox Holdings Corp. |
8,748 | 134,719 | ||||||
|
|
|||||||
3,366,385 | ||||||||
|
|
|||||||
Utilities - 4.7% |
| |||||||
ALLETE, Inc. |
4,385 | 282,263 | ||||||
Altus Power, Inc. * |
5,027 | 27,548 | ||||||
American States Water Co. |
1,479 | 131,468 | ||||||
Artesian Resources Corp. Class A |
209 | 11,570 | ||||||
Avista Corp. |
5,525 | 234,536 | ||||||
Black Hills Corp. |
4,974 | 313,859 | ||||||
California Water Service Group |
3,072 | 178,790 | ||||||
Chesapeake Utilities Corp. |
572 | 73,210 | ||||||
MGE Energy, Inc. |
1,602 | 124,427 | ||||||
New Jersey Resources Corp. |
6,777 | 360,536 | ||||||
Northwest Natural Holding Co. |
2,653 | 126,177 | ||||||
NorthWestern Corp. |
4,439 | 256,841 | ||||||
ONE Gas, Inc. |
4,114 | 325,952 | ||||||
Ormat Technologies, Inc. |
1,786 | 151,399 | ||||||
Otter Tail Corp. |
1,743 | 125,967 | ||||||
PNM Resources, Inc. |
6,538 | 318,270 | ||||||
Portland General Electric Co. |
6,846 | 334,701 | ||||||
SJW Group |
2,067 | 157,361 | ||||||
Southwest Gas Holdings, Inc. * |
4,660 | 291,017 | ||||||
Spire, Inc. |
3,901 | 273,616 | ||||||
Unitil Corp. |
1,192 | 67,992 | ||||||
Via Renewables, Inc. * |
39 | 717 | ||||||
|
|
|||||||
4,168,217 | ||||||||
|
|
|||||||
Total Common Stocks |
84,534,588 | |||||||
|
|
|||||||
EXCHANGE-TRADED FUND - 2.6% |
| |||||||
iShares Russell 2000 Value |
16,830 | 2,306,047 | ||||||
|
|
|||||||
Total Exchange-Traded Fund |
2,306,047 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
275
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENT - 1.0% |
| |||||||
Repurchase Agreement - 1.0% |
| |||||||
Fixed Income Clearing Corp. |
$864,767 | $864,767 | ||||||
|
|
|||||||
Total Short-Term Investment |
864,767 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.8% |
87,705,723 | |||||||
|
|
|||||||
DERIVATIVES - 0.0% |
28,793 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.2% |
163,499 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$87,898,015 | |||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $312 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
276
PACIFIC SELECT FUND
PD SMALL-CAP VALUE INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||||
Micro Russell 2000 E-Mini Index |
06/23 | 119 | $1,050,240 | $1,079,033 | $28,793 | |||||||||||||||
|
|
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Rights |
|||||||||||||||||
Basic Materials |
$9 | $9 | $- | $- | ||||||||||||||
Consumer, Non-Cyclical |
312 | - | - | 312 | ||||||||||||||
Total Rights |
321 | 9 | - | 312 | ||||||||||||||
Common Stocks |
||||||||||||||||||
Basic Materials |
2,676,770 | 2,676,770 | - | - | ||||||||||||||
Communications |
3,008,660 | 3,008,660 | - | - | ||||||||||||||
Consumer, Cyclical |
10,646,264 | 10,646,264 | - | - | ||||||||||||||
Consumer, Non-Cyclical |
14,247,796 | 14,195,283 | 52,513 | - | ||||||||||||||
Energy |
4,640,494 | 4,640,494 | - | - | ||||||||||||||
Financial |
30,614,909 | 30,614,909 | - | - | ||||||||||||||
Industrial |
11,165,093 | 11,165,093 | - | - | ||||||||||||||
Technology |
3,366,385 | 3,366,385 | - | - | ||||||||||||||
Utilities |
4,168,217 | 4,168,217 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
84,534,588 | 84,482,075 | 52,513 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Exchange-Traded Fund |
2,306,047 | 2,306,047 | - | - | ||||||||||||||
Short-Term Investment |
864,767 | - | 864,767 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
28,793 | 28,793 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$87,734,516 | $86,816,924 | $917,280 | $312 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
277
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
RIGHTS - 0.0% |
| |||||||
Brazil - 0.0% |
| |||||||
Localiza Rent a Car SA Exp 05/11/23 * |
71 | $184 | ||||||
|
|
|||||||
Total Rights |
184 | |||||||
|
|
|||||||
WARRANTS - 0.0% |
| |||||||
Thailand - 0.0% |
| |||||||
Minor International PCL Exercise @ THB 31.00 Exp 02/15/24 * |
3,344 | 353 | ||||||
|
|
|||||||
Total Warrants |
353 | |||||||
|
|
|||||||
PREFERRED STOCKS - 2.0% |
| |||||||
Brazil - 1.2% |
| |||||||
Banco Bradesco SA |
114,990 | 298,793 | ||||||
Centrais Eletricas Brasileiras SA Class B |
5,500 | 39,369 | ||||||
Cia Energetica de Minas Gerais |
29,945 | 67,589 | ||||||
Gerdau SA |
24,885 | 124,169 | ||||||
Itau Unibanco Holding SA |
104,400 | 509,595 | ||||||
Itausa SA |
109,873 | 178,192 | ||||||
Petroleo Brasileiro SA |
102,600 | 474,695 | ||||||
|
|
|||||||
1,692,402 | ||||||||
|
|
|||||||
Chile - 0.2% |
| |||||||
Sociedad Quimica y Minera de Chile SA Class B |
3,076 | 247,166 | ||||||
|
|
|||||||
Colombia - 0.0% |
| |||||||
Bancolombia SA |
9,736 | 61,004 | ||||||
|
|
|||||||
Russia - 0.0% |
| |||||||
Surgutneftegas PJSC * W ± |
44,600 | - | ||||||
|
|
|||||||
South Korea - 0.6% |
| |||||||
Hyundai Motor Co. |
806 | 59,537 | ||||||
Hyundai Motor Co. |
448 | 32,569 | ||||||
LG Chem Ltd. |
165 | 39,535 | ||||||
Samsung Electronics Co. Ltd. |
17,725 | 737,619 | ||||||
|
|
|||||||
869,260 | ||||||||
|
|
|||||||
Total Preferred Stocks |
2,869,832 | |||||||
|
|
|||||||
COMMON STOCKS - 95.3% |
| |||||||
Australia - 0.2% |
| |||||||
AngloGold Ashanti Ltd. |
9,015 | 219,559 | ||||||
|
|
|||||||
Brazil - 3.5% |
| |||||||
Ambev SA |
101,800 | 287,819 | ||||||
Atacadao SA |
13,600 | 33,246 | ||||||
B3 SA - Brasil Bolsa Balcao |
131,300 | 268,120 | ||||||
Banco Bradesco SA |
34,400 | 80,427 | ||||||
Banco BTG Pactual SA |
25,400 | 98,474 | ||||||
Banco do Brasil SA |
18,500 | 142,753 | ||||||
Banco Santander Brasil SA |
8,100 | 42,830 |
Shares |
Value |
|||||||
BB Seguridade Participacoes SA |
15,100 | $96,854 | ||||||
CCR SA |
26,100 | 65,914 | ||||||
Centrais Eletricas Brasileiras SA |
26,100 | 171,375 | ||||||
Cia de Saneamento Basico do Estado de Sao Paulo SABESP |
7,400 | 73,891 | ||||||
Cia Siderurgica Nacional SA |
14,300 | 43,562 | ||||||
Cosan SA |
26,200 | 78,004 | ||||||
CPFL Energia SA |
5,000 | 31,223 | ||||||
Energisa SA |
4,300 | 34,088 | ||||||
Eneva SA * |
18,700 | 38,629 | ||||||
Engie Brasil Energia SA |
4,400 | 34,872 | ||||||
Equatorial Energia SA |
21,900 | 116,490 | ||||||
Hapvida Participacoes e Investimentos SA * ~ |
100,043 | 51,715 | ||||||
Hypera SA |
8,900 | 66,200 | ||||||
Inter & Co., Inc. BDR * |
55 | 95 | ||||||
Klabin SA |
16,800 | 59,962 | ||||||
Localiza Rent a Car SA |
16,058 | 169,183 | ||||||
Lojas Renner SA |
21,391 | 69,932 | ||||||
Magazine Luiza SA * |
65,400 | 42,710 | ||||||
Natura & Co. Holding SA |
19,400 | 50,524 | ||||||
Petro Rio SA * |
15,200 | 93,537 | ||||||
Petroleo Brasileiro SA |
80,100 | 418,639 | ||||||
Raia Drogasil SA |
23,100 | 111,433 | ||||||
Rede DOr Sao Luiz SA ~ |
12,440 | 52,131 | ||||||
Rumo SA |
28,000 | 104,134 | ||||||
Sendas Distribuidora SA |
26,100 | 80,023 | ||||||
Suzano SA |
16,100 | 132,143 | ||||||
Telefonica Brasil SA |
10,800 | 82,378 | ||||||
TIM SA |
18,300 | 45,421 | ||||||
TOTVS SA |
11,300 | 62,782 | ||||||
Ultrapar Participacoes SA |
15,600 | 42,967 | ||||||
Vale SA |
82,353 | 1,304,565 | ||||||
Vibra Energia SA |
25,126 | 71,435 | ||||||
WEG SA |
36,200 | 289,617 | ||||||
|
|
|||||||
5,140,097 | ||||||||
|
|
|||||||
Chile - 0.4% |
| |||||||
Banco de Chile |
979,329 | 95,113 | ||||||
Banco de Credito e Inversiones SA |
1,273 | 37,316 | ||||||
Banco Santander Chile |
1,420,823 | 63,007 | ||||||
Cencosud SA |
30,174 | 58,306 | ||||||
Cia Cervecerias Unidas SA |
2,785 | 21,420 | ||||||
Cia Sud Americana de Vapores SA |
331,541 | 33,042 | ||||||
Empresas CMPC SA |
24,220 | 40,476 | ||||||
Empresas COPEC SA |
8,399 | 59,277 | ||||||
Enel Americas SA |
462,127 | 60,870 | ||||||
Enel Chile SA |
595,896 | 32,505 | ||||||
Falabella SA |
16,179 | 37,207 | ||||||
|
|
|||||||
538,539 | ||||||||
|
|
|||||||
China - 31.6% |
| |||||||
360 DigiTech, Inc. ADR |
2,568 | 49,819 | ||||||
360 Security Technology, Inc. Class A |
9,200 | 23,414 | ||||||
37 Interactive Entertainment Network Technology Group Co. Ltd. Class A |
2,900 | 12,000 | ||||||
3SBio, Inc. ~ |
31,500 | 31,350 | ||||||
AAC Technologies Holdings, Inc. * |
15,500 | 38,337 | ||||||
Advanced Micro-Fabrication Equipment, Inc. China Class A * |
795 | 17,127 | ||||||
AECC Aero-Engine Control Co. Ltd. Class A |
1,700 | 6,030 | ||||||
AECC Aviation Power Co. Ltd. Class A |
3,400 | 21,397 | ||||||
Agricultural Bank of China Ltd. Class A |
98,500 | 44,601 | ||||||
Agricultural Bank of China Ltd. Class H |
644,000 | 238,490 | ||||||
Aier Eye Hospital Group Co. Ltd. Class A |
9,251 | 41,812 | ||||||
Air China Ltd. Class A * |
8,500 | 13,251 | ||||||
Air China Ltd. Class H * |
42,000 | 37,563 | ||||||
Airtac International Group |
3,232 | 126,402 | ||||||
Akeso, Inc. * ~ |
10,000 | 51,632 | ||||||
Alibaba Group Holding Ltd. * |
319,320 | 4,044,343 | ||||||
Alibaba Health Information Technology Ltd. * |
102,000 | 73,564 | ||||||
Aluminum Corp. of China Ltd. Class A |
13,800 | 11,088 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
278
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Aluminum Corp. of China Ltd. Class H |
90,000 | $45,586 | ||||||
Amlogic Shanghai Co. Ltd. Class A * |
381 | 4,660 | ||||||
Angel Yeast Co. Ltd. Class A |
1,200 | 7,288 | ||||||
Anhui Conch Cement Co. Ltd. Class A |
4,500 | 18,491 | ||||||
Anhui Conch Cement Co. Ltd. Class H |
27,500 | 95,307 | ||||||
Anhui Gujing Distillery Co. Ltd. Class A |
500 | 21,501 | ||||||
Anhui Gujing Distillery Co. Ltd. Class B |
2,300 | 41,070 | ||||||
Anhui Honglu Steel Construction Group Co. Ltd. Class A |
780 | 3,757 | ||||||
Anhui Kouzi Distillery Co. Ltd. Class A |
800 | 8,198 | ||||||
Anhui Yingjia Distillery Co. Ltd. Class A |
900 | 8,718 | ||||||
Anjoy Foods Group Co. Ltd. Class A |
400 | 9,539 | ||||||
ANTA Sports Products Ltd. |
26,400 | 383,304 | ||||||
Apeloa Pharmaceutical Co. Ltd. Class A |
1,300 | 4,027 | ||||||
Asia - Potash International Investment Guangzhou Co. Ltd. Class A * |
1,200 | 4,775 | ||||||
Asymchem Laboratories Tianjin Co. Ltd. Class A |
480 | 9,313 | ||||||
Autobio Diagnostics Co. Ltd. Class A |
800 | 7,100 | ||||||
Autohome, Inc. ADR |
1,622 | 54,288 | ||||||
Avary Holding Shenzhen Co. Ltd. Class A |
2,500 | 11,305 | ||||||
AVIC Industry-Finance Holdings Co. Ltd. Class A |
11,600 | 6,921 | ||||||
AviChina Industry & Technology Co. Ltd. Class H |
53,000 | 27,849 | ||||||
Avicopter PLC Class A |
800 | 4,928 | ||||||
Baidu, Inc. Class A * |
47,484 | 894,659 | ||||||
Bank of Beijing Co. Ltd. Class A |
27,400 | 17,558 | ||||||
Bank of Changsha Co. Ltd. Class A |
5,300 | 6,112 | ||||||
Bank of Chengdu Co. Ltd. Class A |
4,700 | 9,277 | ||||||
Bank of China Ltd. Class A |
106,300 | 52,274 | ||||||
Bank of China Ltd. Class H |
1,625,000 | 622,971 | ||||||
Bank of Communications Co. Ltd. Class A |
62,500 | 46,492 | ||||||
Bank of Communications Co. Ltd. Class H |
173,000 | 108,800 | ||||||
Bank of Hangzhou Co. Ltd. Class A |
7,600 | 12,843 | ||||||
Bank of Jiangsu Co. Ltd. Class A |
19,080 | 19,516 | ||||||
Bank of Nanjing Co. Ltd. Class A |
13,400 | 17,475 | ||||||
Bank of Ningbo Co. Ltd. Class A |
8,510 | 33,803 | ||||||
Bank of Shanghai Co. Ltd. Class A |
18,400 | 16,047 | ||||||
Bank of Suzhou Co. Ltd. Class A |
4,700 | 4,764 | ||||||
Baoshan Iron & Steel Co. Ltd. Class A |
28,800 | 26,151 | ||||||
BBMG Corp. Class A |
10,000 | 3,566 | ||||||
BeiGene Ltd. * |
13,289 | 221,192 | ||||||
Beijing Capital International Airport Co. Ltd. Class H * |
40,000 | 29,460 | ||||||
Beijing Dabeinong Technology Group Co. Ltd. Class A * |
5,800 | 6,594 | ||||||
Beijing Easpring Material Technology Co. Ltd. Class A |
600 | 5,038 | ||||||
Beijing Enlight Media Co. Ltd. Class A |
3,100 | 4,014 | ||||||
Beijing Enterprises Holdings Ltd. |
11,000 | 39,595 | ||||||
Beijing Enterprises Water Group Ltd. |
86,000 | 21,490 | ||||||
Beijing Kingsoft Office Software, Inc. Class A |
428 | 29,469 | ||||||
Beijing New Building Materials PLC Class A |
2,200 | 8,583 | ||||||
Beijing Shiji Information Technology Co. Ltd. Class A |
2,268 | 8,474 | ||||||
Beijing Tongrentang Co. Ltd. Class A |
1,800 | 14,452 | ||||||
Beijing United Information Technology Co. Ltd. Class A |
680 | 8,212 | ||||||
Beijing Wantai Biological Pharmacy Enterprise Co. Ltd. Class A |
780 | 13,184 | ||||||
Beijing Yanjing Brewery Co. Ltd. Class A |
3,600 | 7,337 | ||||||
Beijing Yuanliu Hongyuan Electronic Technology Co. Ltd. Class A |
300 | 3,366 | ||||||
Bethel Automotive Safety Systems Co. Ltd. Class A |
600 | 6,226 | ||||||
Betta Pharmaceuticals Co. Ltd. Class A |
600 | 5,140 | ||||||
BGI Genomics Co. Ltd. Class A |
600 | 6,027 | ||||||
Bilibili, Inc. Class Z * |
4,082 | 96,051 | ||||||
Bloomage Biotechnology Corp. Ltd. Class A |
618 | 10,206 | ||||||
BOC Aviation Ltd. ~ |
4,500 | 34,897 | ||||||
BOC International China Co. Ltd. Class A |
3,500 | 5,480 | ||||||
BOE Technology Group Co. Ltd. Class A |
48,300 | 31,209 | ||||||
Bosideng International Holdings Ltd. |
70,000 | 39,061 | ||||||
BTG Hotels Group Co. Ltd. Class A |
1,400 | 4,759 | ||||||
By-health Co. Ltd. Class A |
2,300 | 7,134 |
Shares |
Value |
|||||||
BYD Co. Ltd. Class A |
2,300 | $85,688 | ||||||
BYD Co. Ltd. Class H |
18,000 | 529,491 | ||||||
BYD Electronic International Co. Ltd. |
14,500 | 45,126 | ||||||
C&D International Investment Group Ltd. |
14,000 | 45,979 | ||||||
Caitong Securities Co. Ltd. Class A |
5,950 | 6,509 | ||||||
Canmax Technologies Co. Ltd. Class A |
800 | 5,974 | ||||||
CECEP Solar Energy Co. Ltd. Class A |
5,100 | 5,084 | ||||||
CECEP Wind-Power Corp. Class A |
7,120 | 4,013 | ||||||
CETC Cyberspace Security Technology Co. Ltd. Class A |
1,200 | 6,806 | ||||||
CGN Power Co. Ltd. Class H ~ |
228,000 | 54,586 | ||||||
Changchun High & New Technology Industry Group, Inc. Class A |
500 | 11,891 | ||||||
Changjiang Securities Co. Ltd. Class A |
7,800 | 6,325 | ||||||
Changzhou Xingyu Automotive Lighting Systems Co. Ltd. Class A |
375 | 6,560 | ||||||
Chaozhou Three-Circle Group Co. Ltd. Class A |
2,500 | 10,958 | ||||||
Chengtun Mining Group Co. Ltd. Class A |
4,700 | 3,915 | ||||||
Chengxin Lithium Group Co. Ltd. Class A |
1,200 | 6,028 | ||||||
China Baoan Group Co. Ltd. Class A |
2,900 | 4,802 | ||||||
China Cinda Asset Management Co. Ltd. Class H |
190,000 | 24,014 | ||||||
China CITIC Bank Corp. Ltd. Class H |
192,000 | 96,588 | ||||||
China Coal Energy Co. Ltd. Class H |
44,000 | 33,391 | ||||||
China Common Rich Renewable Energy Investments Ltd. * W ± |
122,000 | - | ||||||
China Communications Services Corp. Ltd. Class H |
52,000 | 25,587 | ||||||
China Conch Venture Holdings Ltd. |
35,000 | 61,293 | ||||||
China Construction Bank Corp. Class A |
12,800 | 11,066 | ||||||
China Construction Bank Corp. Class H |
2,071,000 | 1,340,341 | ||||||
China CSSC Holdings Ltd. Class A |
5,800 | 19,797 | ||||||
China Eastern Airlines Corp. Ltd. Class A * |
14,700 | 11,018 | ||||||
China Energy Engineering Corp. Ltd. |
41,700 | 14,631 | ||||||
China Everbright Bank Co. Ltd. Class A |
58,000 | 25,406 | ||||||
China Everbright Bank Co. Ltd. Class H |
61,000 | 18,505 | ||||||
China Everbright Environment Group Ltd. |
79,000 | 33,884 | ||||||
China Feihe Ltd. ~ |
78,000 | 58,458 | ||||||
China Galaxy Securities Co. Ltd. Class A |
4,400 | 6,437 | ||||||
China Galaxy Securities Co. Ltd. Class H |
79,500 | 40,026 | ||||||
China Gas Holdings Ltd. |
64,400 | 90,671 | ||||||
China Great Wall Securities Co. Ltd. Class A |
4,300 | 5,191 | ||||||
China Greatwall Technology Group Co. Ltd. Class A |
4,200 | 7,568 | ||||||
China Hongqiao Group Ltd. |
50,500 | 48,530 | ||||||
China International Capital Corp. Ltd. Class A |
1,500 | 8,495 | ||||||
China International Capital Corp. Ltd. Class H ~ |
32,800 | 65,808 | ||||||
China Jinmao Holdings Group Ltd. |
129,624 | 25,235 | ||||||
China Jushi Co. Ltd. Class A |
5,101 | 10,848 | ||||||
China Lesso Group Holdings Ltd. |
23,000 | 20,551 | ||||||
China Life Insurance Co. Ltd. Class A |
2,900 | 14,056 | ||||||
China Life Insurance Co. Ltd. Class H |
163,000 | 267,494 | ||||||
China Literature Ltd. * ~ |
8,800 | 45,444 | ||||||
China Longyuan Power Group Corp. Ltd. Class H |
72,000 | 82,139 | ||||||
China Medical System Holdings Ltd. |
29,000 | 45,755 | ||||||
China Meheco Co. Ltd. Class A |
2,100 | 4,204 | ||||||
China Meidong Auto Holdings Ltd. |
14,000 | 30,196 | ||||||
China Mengniu Dairy Co. Ltd. * |
68,000 | 278,762 | ||||||
China Merchants Bank Co. Ltd. Class A |
25,600 | 127,492 | ||||||
China Merchants Bank Co. Ltd. Class H |
85,000 | 431,631 | ||||||
China Merchants Energy Shipping Co. Ltd. Class A |
10,500 | 10,716 | ||||||
China Merchants Port Holdings Co. Ltd. |
31,192 | 47,886 | ||||||
China Merchants Securities Co. Ltd. Class A |
9,500 | 19,067 | ||||||
China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A |
10,000 | 19,765 | ||||||
China Minsheng Banking Corp. Ltd. Class A |
80,700 | 40,543 | ||||||
China Minsheng Banking Corp. Ltd. Class H |
87,500 | 29,982 | ||||||
China National Building Material Co. Ltd. Class H |
84,000 | 69,042 | ||||||
China National Chemical Engineering Co. Ltd. Class A |
7,900 | 10,669 | ||||||
China National Nuclear Power Co. Ltd. Class A |
24,300 | 22,621 | ||||||
China National Software & Service Co. Ltd. Class A |
900 | 9,031 | ||||||
China Northern Rare Earth Group High-Tech Co. Ltd. Class A |
4,700 | 17,858 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
279
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
China Oilfield Services Ltd. Class H |
40,000 | $41,120 | ||||||
China Overseas Land & Investment Ltd. |
82,500 | 199,029 | ||||||
China Overseas Property Holdings Ltd. |
30,000 | 36,600 | ||||||
China Pacific Insurance Group Co. Ltd. Class A |
8,000 | 30,187 | ||||||
China Pacific Insurance Group Co. Ltd. Class H |
58,000 | 153,763 | ||||||
China Petroleum & Chemical Corp. Class A |
36,200 | 29,587 | ||||||
China Petroleum & Chemical Corp. Class H |
556,000 | 328,107 | ||||||
China Power International Development Ltd. |
106,108 | 42,253 | ||||||
China Railway Group Ltd. Class A |
24,600 | 24,620 | ||||||
China Railway Group Ltd. Class H |
94,000 | 57,362 | ||||||
China Railway Signal & Communication Corp. Ltd. Class A |
9,535 | 7,526 | ||||||
China Rare Earth Resources & Technology Co. Ltd. Class A * |
1,400 | 6,881 | ||||||
China Resources Beer Holdings Co. Ltd. |
34,000 | 273,136 | ||||||
China Resources Cement Holdings Ltd. |
52,000 | 25,535 | ||||||
China Resources Gas Group Ltd. |
19,900 | 73,200 | ||||||
China Resources Land Ltd. |
70,000 | 318,768 | ||||||
China Resources Microelectronics Ltd. Class A |
1,414 | 12,465 | ||||||
China Resources Mixc Lifestyle Services Ltd. ~ |
14,800 | 77,815 | ||||||
China Resources Pharmaceutical Group Ltd. ~ |
34,000 | 26,902 | ||||||
China Resources Power Holdings Co. Ltd. |
42,000 | 89,611 | ||||||
China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. Class A |
1,300 | 10,868 | ||||||
China Ruyi Holdings Ltd. * |
120,000 | 31,383 | ||||||
China Shenhua Energy Co. Ltd. Class A |
7,500 | 30,730 | ||||||
China Shenhua Energy Co. Ltd. Class H |
74,000 | 232,872 | ||||||
China Southern Airlines Co. Ltd. Class A * |
12,700 | 14,548 | ||||||
China Southern Airlines Co. Ltd. Class H * |
42,000 | 29,965 | ||||||
China State Construction Engineering Corp. Ltd. Class A |
54,100 | 45,614 | ||||||
China State Construction International Holdings Ltd. |
44,000 | 49,778 | ||||||
China Taiping Insurance Holdings Co. Ltd. |
31,000 | 32,962 | ||||||
China Three Gorges Renewables Group Co. Ltd. Class A |
36,800 | 29,368 | ||||||
China Tourism Group Duty Free Corp. Ltd. Class A |
2,444 | 65,265 | ||||||
China Tourism Group Duty Free Corp. Ltd. Class H * ~ |
1,600 | 39,490 | ||||||
China Tower Corp. Ltd. Class H ~ |
954,000 | 115,463 | ||||||
China Traditional Chinese Medicine Holdings Co. Ltd. |
60,000 | 31,435 | ||||||
China United Network Communications Ltd. Class A |
41,100 | 32,426 | ||||||
China Vanke Co. Ltd. Class A |
12,600 | 27,842 | ||||||
China Vanke Co. Ltd. Class H |
45,000 | 71,008 | ||||||
China Yangtze Power Co. Ltd. Class A |
29,400 | 90,865 | ||||||
China Zhenhua Group Science & Technology Co. Ltd. Class A |
700 | 9,183 | ||||||
China Zheshang Bank Co. Ltd. Class A * |
21,600 | 8,996 | ||||||
Chinasoft International Ltd. * |
58,000 | 36,744 | ||||||
Chongqing Brewery Co. Ltd. Class A |
600 | 10,924 | ||||||
Chongqing Changan Automobile Co. Ltd. Class A |
10,696 | 18,604 | ||||||
Chongqing Fuling Zhacai Group Co. Ltd. Class A |
1,000 | 3,686 | ||||||
Chongqing Rural Commercial Bank Co. Ltd. Class A |
12,900 | 6,892 | ||||||
Chongqing Zhifei Biological Products Co. Ltd. Class A |
2,100 | 25,093 | ||||||
Chow Tai Fook Jewellery Group Ltd. * |
43,000 | 85,445 | ||||||
CITIC Ltd. |
125,000 | 146,101 | ||||||
CITIC Securities Co. Ltd. Class A |
14,480 | 43,216 | ||||||
CITIC Securities Co. Ltd. Class H |
47,075 | 100,693 | ||||||
CMOC Group Ltd. Class A |
19,000 | 16,546 | ||||||
CMOC Group Ltd. Class H |
81,000 | 49,032 | ||||||
CNGR Advanced Material Co. Ltd. Class A |
700 | 7,303 | ||||||
CNNC Hua Yuan Titanium Dioxide Co. Ltd. Class A |
4,965 | 4,691 | ||||||
Contemporary Amperex Technology Co. Ltd. Class A |
3,200 | 189,413 | ||||||
COSCO SHIPPING Development Co. Ltd. Class A |
10,700 | 3,850 | ||||||
COSCO SHIPPING Energy Transportation Co. Ltd. Class A * |
4,500 | 8,867 | ||||||
COSCO SHIPPING Holdings Co. Ltd. Class A |
15,110 | 24,290 | ||||||
COSCO SHIPPING Holdings Co. Ltd. Class H |
70,900 | 79,931 |
Shares |
Value |
|||||||
COSCO SHIPPING Ports Ltd. |
40,000 | $26,747 | ||||||
Country Garden Holdings Co. Ltd. |
267,707 | 75,169 | ||||||
Country Garden Services Holdings Co. Ltd. |
47,000 | 81,032 | ||||||
CRRC Corp. Ltd. Class A |
28,200 | 25,135 | ||||||
CRRC Corp. Ltd. Class H |
100,000 | 54,584 | ||||||
CSC Financial Co. Ltd. Class A |
5,600 | 20,917 | ||||||
CSPC Pharmaceutical Group Ltd. |
192,000 | 188,221 | ||||||
Daan Gene Co. Ltd. Class A |
1,760 | 4,126 | ||||||
Dajin Heavy Industry Co. Ltd. Class A |
800 | 4,098 | ||||||
Dali Foods Group Co. Ltd. ~ |
44,500 | 18,554 | ||||||
Daqin Railway Co. Ltd. Class A |
19,200 | 20,109 | ||||||
Daqo New Energy Corp. ADR * |
1,292 | 60,517 | ||||||
DaShenLin Pharmaceutical Group Co. Ltd. Class A |
1,240 | 6,725 | ||||||
Datang International Power Generation Co. Ltd. Class A * |
10,700 | 4,725 | ||||||
DHC Software Co. Ltd. Class A |
3,700 | 4,479 | ||||||
Do-Fluoride Chemicals Co. Ltd. Class A |
1,100 | 5,319 | ||||||
Dong-E-E-Jiao Co. Ltd. Class A |
900 | 6,945 | ||||||
Dongfang Electric Corp. Ltd. Class A |
3,600 | 9,939 | ||||||
Dongfeng Motor Group Co. Ltd. Class H |
62,000 | 29,125 | ||||||
Dongxing Securities Co. Ltd. Class A |
3,500 | 4,278 | ||||||
Dongyue Group Ltd. |
32,000 | 33,075 | ||||||
East Buy Holding Ltd. * ~ |
8,500 | 36,384 | ||||||
East Money Information Co. Ltd. Class A |
17,064 | 49,772 | ||||||
Ecovacs Robotics Co. Ltd. Class A |
700 | 8,399 | ||||||
ENN Energy Holdings Ltd. |
17,000 | 232,780 | ||||||
ENN Natural Gas Co. Ltd. Class A |
3,300 | 10,011 | ||||||
Eve Energy Co. Ltd. Class A |
2,600 | 26,405 | ||||||
Everbright Securities Co. Ltd. Class A |
5,000 | 11,078 | ||||||
Fangda Carbon New Material Co. Ltd. Class A * |
4,300 | 4,033 | ||||||
Far East Horizon Ltd. |
33,000 | 29,634 | ||||||
FAW Jiefang Group Co. Ltd. |
3,600 | 4,353 | ||||||
First Capital Securities Co. Ltd. Class A |
6,000 | 5,214 | ||||||
Flat Glass Group Co. Ltd. Class A |
2,100 | 10,491 | ||||||
Flat Glass Group Co. Ltd. Class H |
9,000 | 25,742 | ||||||
Focus Media Information Technology Co. Ltd. Class A |
18,600 | 18,579 | ||||||
Foshan Haitian Flavouring & Food Co. Ltd. Class A |
5,024 | 55,952 | ||||||
Fosun International Ltd. |
53,000 | 38,837 | ||||||
Foxconn Industrial Internet Co. Ltd. Class A |
9,200 | 23,015 | ||||||
Fujian Sunner Development Co. Ltd. Class A |
1,648 | 5,911 | ||||||
Fuyao Glass Industry Group Co. Ltd. Class A |
1,900 | 9,614 | ||||||
Fuyao Glass Industry Group Co. Ltd. Class H ~ |
14,000 | 61,044 | ||||||
G-bits Network Technology Xiamen Co. Ltd. Class A |
100 | 6,930 | ||||||
Ganfeng Lithium Group Co. Ltd. Class A |
3,360 | 32,551 | ||||||
Ganfeng Lithium Group Co. Ltd. Class H ~ |
5,560 | 34,646 | ||||||
Gaona Aero Material Co. Ltd. Class A |
600 | 3,293 | ||||||
GCL Technology Holdings Ltd. * |
438,000 | 113,365 | ||||||
GD Power Development Co. Ltd. Class A * |
23,000 | 12,735 | ||||||
GDS Holdings Ltd. Class A * |
18,792 | 44,144 | ||||||
Geely Automobile Holdings Ltd. |
130,000 | 167,521 | ||||||
GEM Co. Ltd. Class A |
6,600 | 7,184 | ||||||
Gemdale Corp. Class A |
6,100 | 7,432 | ||||||
Genscript Biotech Corp. * |
26,000 | 55,623 | ||||||
GF Securities Co. Ltd. Class A |
5,700 | 13,085 | ||||||
GF Securities Co. Ltd. Class H |
26,800 | 37,906 | ||||||
GigaDevice Semiconductor, Inc. Class A |
880 | 15,671 | ||||||
Ginlong Technologies Co. Ltd. Class A * |
550 | 10,706 | ||||||
GoerTek, Inc. Class A |
4,400 | 13,731 | ||||||
Gotion High-tech Co. Ltd. Class A |
2,300 | 9,986 | ||||||
Great Wall Motor Co. Ltd. Class A |
5,100 | 20,795 | ||||||
Great Wall Motor Co. Ltd. Class H |
56,500 | 69,910 | ||||||
Gree Electric Appliances, Inc. of Zhuhai Class A |
3,600 | 19,217 | ||||||
Greentown China Holdings Ltd. |
19,000 | 24,591 | ||||||
Greentown Service Group Co. Ltd. |
32,000 | 20,187 | ||||||
GRG Banking Equipment Co. Ltd. Class A |
3,500 | 6,244 | ||||||
Guangdong Haid Group Co. Ltd. Class A |
2,200 | 18,688 | ||||||
Guangdong HEC Technology Holding Co. Ltd. Class A |
3,900 | 5,082 | ||||||
Guangdong Investment Ltd. |
64,000 | 65,470 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
280
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Guangdong Kinlong Hardware Products Co. Ltd. Class A |
400 | $4,672 | ||||||
Guanghui Energy Co. Ltd. Class A |
8,500 | 11,444 | ||||||
Guangzhou Automobile Group Co. Ltd. Class A |
4,100 | 6,659 | ||||||
Guangzhou Automobile Group Co. Ltd. Class H |
70,000 | 44,233 | ||||||
Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A |
1,800 | 8,669 | ||||||
Guangzhou Great Power Energy & Technology Co. Ltd. Class A |
600 | 4,973 | ||||||
Guangzhou Haige Communications Group, Inc. Co. Class A |
2,600 | 3,977 | ||||||
Guangzhou Kingmed Diagnostics Group Co. Ltd. Class A |
600 | 7,696 | ||||||
Guangzhou Shiyuan Electronic Technology Co. Ltd. Class A |
900 | 9,805 | ||||||
Guangzhou Tinci Materials Technology Co. Ltd. Class A |
2,460 | 15,043 | ||||||
Guangzhou Yuexiu Capital Holdings Group Co. Ltd. Class A |
5,515 | 5,288 | ||||||
Guolian Securities Co. Ltd. Class A |
3,500 | 5,402 | ||||||
Guosen Securities Co. Ltd. Class A |
8,200 | 11,193 | ||||||
Guotai Junan Securities Co. Ltd. Class A |
9,600 | 20,089 | ||||||
Guoyuan Securities Co. Ltd. Class A |
6,200 | 6,106 | ||||||
H World Group Ltd. ADR * |
4,159 | 203,708 | ||||||
Haidilao International Holding Ltd. * ~ |
24,000 | 65,045 | ||||||
Haier Smart Home Co. Ltd. Class A |
6,700 | 22,096 | ||||||
Haier Smart Home Co. Ltd. Class H |
51,000 | 159,695 | ||||||
Haitian International Holdings Ltd. |
14,000 | 36,291 | ||||||
Haitong Securities Co. Ltd. Class A |
9,400 | 12,070 | ||||||
Haitong Securities Co. Ltd. Class H |
69,200 | 43,196 | ||||||
Hangzhou Binjiang Real Estate Group Co. Ltd. Class A |
4,000 | 5,302 | ||||||
Hangzhou Chang Chuan Technology Co. Ltd. Class A |
800 | 5,634 | ||||||
Hangzhou First Applied Material Co. Ltd. Class A |
1,728 | 14,773 | ||||||
Hangzhou Lion Electronics Co. Ltd. Class A |
900 | 7,150 | ||||||
Hangzhou Oxygen Plant Group Co. Ltd. Class A |
1,300 | 6,303 | ||||||
Hangzhou Robam Appliances Co. Ltd. Class A |
1,100 | 4,543 | ||||||
Hangzhou Silan Microelectronics Co. Ltd. Class A |
1,800 | 9,710 | ||||||
Hangzhou Tigermed Consulting Co. Ltd. Class A |
700 | 9,754 | ||||||
Hangzhou Tigermed Consulting Co. Ltd. Class H ~ |
2,300 | 21,670 | ||||||
Hansoh Pharmaceutical Group Co. Ltd. ~ |
26,000 | 45,071 | ||||||
Heilongjiang Agriculture Co. Ltd. Class A |
2,600 | 5,089 | ||||||
Henan Shenhuo Coal & Power Co. Ltd. Class A |
2,900 | 7,462 | ||||||
Henan Shuanghui Investment & Development Co. Ltd. Class A |
4,470 | 16,868 | ||||||
Hengan International Group Co. Ltd. |
14,000 | 64,849 | ||||||
Hengdian Group DMEGC Magnetics Co. Ltd. Class A |
2,100 | 6,280 | ||||||
Hengli Petrochemical Co. Ltd. Class A |
7,600 | 17,932 | ||||||
Hengtong Optic-electric Co. Ltd. Class A |
3,100 | 6,816 | ||||||
Hengyi Petrochemical Co. Ltd. Class A |
4,700 | 5,554 | ||||||
Hesteel Co. Ltd. Class A |
12,225 | 4,146 | ||||||
Hithink RoyalFlush Information Network Co. Ltd. Class A |
700 | 20,850 | ||||||
Hongfa Technology Co. Ltd. Class A |
720 | 3,418 | ||||||
Hoshine Silicon Industry Co. Ltd. Class A |
1,000 | 12,094 | ||||||
Hua Hong Semiconductor Ltd. * ~ |
13,000 | 57,641 | ||||||
Huadian Power International Corp. Ltd. Class A |
10,500 | 8,855 | ||||||
Huadong Medicine Co. Ltd. Class A |
2,300 | 15,510 | ||||||
Huafon Chemical Co. Ltd. Class A |
6,700 | 7,281 | ||||||
Huaibei Mining Holdings Co. Ltd. Class A |
3,200 | 6,312 | ||||||
Hualan Biological Engineering, Inc. Class A |
2,500 | 7,963 | ||||||
Huaneng Power International, Inc. Class A * |
10,800 | 13,472 | ||||||
Huaneng Power International, Inc. Class H * |
90,000 | 47,279 | ||||||
Huatai Securities Co. Ltd. Class A |
8,300 | 15,441 | ||||||
Huatai Securities Co. Ltd. Class H ~ |
35,600 | 40,639 | ||||||
Huaxi Securities Co. Ltd. Class A |
3,600 | 4,311 | ||||||
Huaxia Bank Co. Ltd. Class A |
17,200 | 13,480 | ||||||
Huaxin Cement Co. Ltd. Class A |
1,900 | 4,299 | ||||||
Huayu Automotive Systems Co. Ltd. Class A |
4,100 | 9,985 | ||||||
Hubei Feilihua Quartz Glass Co. Ltd. Class A |
700 | 4,478 |
Shares |
Value |
|||||||
Hubei Jumpcan Pharmaceutical Co. Ltd. Class A |
1,200 | $4,982 | ||||||
Hubei Xingfa Chemicals Group Co. Ltd. Class A |
1,500 | 6,657 | ||||||
Huizhou Desay Sv Automotive Co. Ltd. Class A |
700 | 11,299 | ||||||
Humanwell Healthcare Group Co. Ltd. Class A |
2,200 | 8,570 | ||||||
Hunan Changyuan Lico Co. Ltd. Class A |
2,469 | 5,402 | ||||||
Hunan Valin Steel Co. Ltd. Class A |
9,200 | 7,459 | ||||||
Hundsun Technologies, Inc. Class A |
2,476 | 19,188 | ||||||
Hygeia Healthcare Holdings Co. Ltd. * ~ |
7,400 | 52,766 | ||||||
Iflytek Co. Ltd. Class A |
3,000 | 27,798 | ||||||
Imeik Technology Development Co. Ltd. Class A |
300 | 24,405 | ||||||
Industrial & Commercial Bank of China Ltd. Class A |
72,800 | 47,269 | ||||||
Industrial & Commercial Bank of China Ltd. Class H |
1,226,000 | 651,544 | ||||||
Industrial Bank Co. Ltd. Class A |
26,861 | 66,119 | ||||||
Industrial Securities Co. Ltd. Class A |
10,960 | 9,765 | ||||||
Ingenic Semiconductor Co. Ltd. Class A |
600 | 7,786 | ||||||
Inner Mongolia BaoTou Steel Union Co. Ltd. Class A |
59,000 | 16,242 | ||||||
Inner Mongolia Dian Tou Energy Corp. Ltd. Class A |
2,500 | 4,891 | ||||||
Inner Mongolia ERDOS Resources Co. Ltd. Class A |
1,680 | 3,754 | ||||||
Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A |
11,600 | 7,629 | ||||||
Inner Mongolia Yili Industrial Group Co. Ltd. Class A |
8,300 | 35,110 | ||||||
Inner Mongolia Yitai Coal Co. Ltd. Class B |
22,900 | 33,658 | ||||||
Inner Mongolia Yuan Xing Energy Co. Ltd. Class A |
5,100 | 6,404 | ||||||
Innovent Biologics, Inc. * ~ |
23,000 | 103,167 | ||||||
Inspur Electronic Information Industry Co. Ltd. Class A |
1,900 | 9,730 | ||||||
iQIYI, Inc. ADR * |
9,370 | 68,214 | ||||||
JA Solar Technology Co. Ltd. Class A |
3,040 | 25,309 | ||||||
Jafron Biomedical Co. Ltd. Class A |
900 | 3,975 | ||||||
Jason Furniture Hangzhou Co. Ltd. Class A |
1,110 | 6,553 | ||||||
JCET Group Co. Ltd. Class A |
2,300 | 10,883 | ||||||
JD Health International, Inc. * ~ |
23,950 | 177,588 | ||||||
JD.com, Inc. Class A |
46,575 | 1,017,021 | ||||||
Jiangsu Eastern Shenghong Co. Ltd. Class A |
5,300 | 10,492 | ||||||
Jiangsu Expressway Co. Ltd. Class H |
26,000 | 24,179 | ||||||
Jiangsu Hengli Hydraulic Co. Ltd. Class A |
1,700 | 16,388 | ||||||
Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class A |
8,200 | 51,088 | ||||||
Jiangsu Kings Luck Brewery JSC Ltd. Class A |
1,600 | 15,097 | ||||||
Jiangsu Pacific Quartz Co. Ltd. Class A |
500 | 8,986 | ||||||
Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. Class A |
1,900 | 45,608 | ||||||
Jiangsu Yangnong Chemical Co. Ltd. Class A |
400 | 5,655 | ||||||
Jiangsu Yoke Technology Co. Ltd. Class A |
600 | 4,554 | ||||||
Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. Class A |
1,200 | 5,556 | ||||||
Jiangsu Zhongtian Technology Co. Ltd. Class A |
4,400 | 10,955 | ||||||
Jiangxi Copper Co. Ltd. Class A |
800 | 2,303 | ||||||
Jiangxi Copper Co. Ltd. Class H |
27,000 | 45,711 | ||||||
Jiangxi Special Electric Motor Co. Ltd. Class A * |
2,200 | 4,935 | ||||||
JiuGui Liquor Co. Ltd. Class A |
400 | 7,517 | ||||||
Jiumaojiu International Holdings Ltd. ~ |
16,000 | 38,037 | ||||||
Jizhong Energy Resources Co. Ltd. Class A |
4,700 | 4,677 | ||||||
Joincare Pharmaceutical Group Industry Co. Ltd. Class A |
2,700 | 5,179 | ||||||
Joinn Laboratories China Co. Ltd. Class A |
620 | 4,725 | ||||||
Jointown Pharmaceutical Group Co. Ltd. Class A |
2,500 | 5,435 | ||||||
Jonjee Hi-Tech Industrial And Commercial Holding Co. Ltd. Class A |
1,100 | 5,947 | ||||||
JOYY, Inc. ADR |
1,007 | 31,398 | ||||||
Juewei Food Co. Ltd. Class A |
700 | 4,471 | ||||||
Juneyao Airlines Co. Ltd. Class A * |
2,400 | 6,289 | ||||||
Kanzhun Ltd. ADR * |
3,925 | 74,693 | ||||||
KE Holdings, Inc. ADR * |
14,354 | 270,429 | ||||||
Keda Industrial Group Co. Ltd. |
2,500 | 5,259 | ||||||
Kingboard Holdings Ltd. |
14,500 | 44,585 | ||||||
Kingdee International Software Group Co. Ltd. * |
56,000 | 90,461 | ||||||
Kingsoft Corp. Ltd. |
20,600 | 101,268 | ||||||
Kuaishou Technology * ~ |
38,100 | 292,963 | ||||||
Kuang-Chi Technologies Co. Ltd. Class A |
3,000 | 7,247 | ||||||
Kunlun Energy Co. Ltd. |
84,000 | 65,581 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
281
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Kweichow Moutai Co. Ltd. Class A |
1,600 | $422,655 | ||||||
LB Group Co. Ltd. Class A |
3,100 | 9,124 | ||||||
Lenovo Group Ltd. |
156,000 | 169,013 | ||||||
Lens Technology Co. Ltd. Class A |
6,400 | 12,583 | ||||||
Lepu Medical Technology Beijing Co. Ltd. Class A |
2,300 | 7,755 | ||||||
Li Auto, Inc. Class A * |
24,246 | 303,222 | ||||||
Li Ning Co. Ltd. |
51,000 | 401,059 | ||||||
Liaoning Port Co. Ltd. Class A |
24,200 | 5,638 | ||||||
Lingyi iTech Guangdong Co. Class A * |
9,600 | 8,653 | ||||||
Livzon Pharmaceutical Group, Inc. Class A |
700 | 3,806 | ||||||
Longfor Group Holdings Ltd. ~ |
40,500 | 114,225 | ||||||
LONGi Green Energy Technology Co. Ltd. Class A |
9,802 | 57,678 | ||||||
Lufax Holding Ltd. ADR |
14,765 | 30,121 | ||||||
Luoyang Xinqianglian Slewing Bearing Co. Ltd. Class A |
340 | 2,253 | ||||||
Luxi Chemical Group Co. Ltd. Class A |
2,600 | 5,162 | ||||||
Luxshare Precision Industry Co. Ltd. Class A |
9,200 | 40,640 | ||||||
Luzhou Laojiao Co. Ltd. Class A |
1,900 | 70,168 | ||||||
Mango Excellent Media Co. Ltd. Class A |
2,400 | 13,012 | ||||||
Maxscend Microelectronics Co. Ltd. Class A |
680 | 12,330 | ||||||
Meihua Holdings Group Co. Ltd. Class A |
3,900 | 5,554 | ||||||
Meinian Onehealth Healthcare Holdings Co. Ltd. Class A * |
4,300 | 4,711 | ||||||
Meituan Class B * ~ |
104,890 | 1,902,937 | ||||||
Metallurgical Corp. of China Ltd. Class A |
23,000 | 13,052 | ||||||
Microport Scientific Corp. * |
13,800 | 32,502 | ||||||
Ming Yang Smart Energy Group Ltd. Class A |
2,900 | 9,516 | ||||||
MINISO Group Holding Ltd. ADR |
2,046 | 36,296 | ||||||
Minth Group Ltd. |
16,000 | 48,563 | ||||||
Montage Technology Co. Ltd. Class A |
1,462 | 14,832 | ||||||
Muyuan Foods Co. Ltd. Class A |
6,860 | 48,853 | ||||||
Nanjing King-Friend Biochemical Pharmaceutical Co. Ltd. Class A |
2,343 | 5,565 | ||||||
NARI Technology Co. Ltd. Class A |
8,632 | 34,034 | ||||||
NAURA Technology Group Co. Ltd. Class A |
700 | 27,163 | ||||||
NavInfo Co. Ltd. Class A |
3,400 | 6,701 | ||||||
NetEase, Inc. |
42,405 | 748,570 | ||||||
New China Life Insurance Co. Ltd. Class A |
4,900 | 21,724 | ||||||
New China Life Insurance Co. Ltd. Class H |
15,000 | 35,625 | ||||||
New Hope Liuhe Co. Ltd. Class A * |
5,900 | 11,362 | ||||||
New Oriental Education & Technology Group, Inc. * |
32,900 | 126,256 | ||||||
Ninestar Corp. Class A |
1,800 | 11,755 | ||||||
Ningbo Deye Technology Co. Ltd. Class A |
300 | 11,293 | ||||||
Ningbo Joyson Electronic Corp. Class A * |
1,700 | 3,777 | ||||||
Ningbo Orient Wires & Cables Co. Ltd. Class A |
900 | 6,452 | ||||||
Ningbo Ronbay New Energy Technology Co. Ltd. Class A |
579 | 5,782 | ||||||
Ningbo Shanshan Co. Ltd. Class A |
2,900 | 7,282 | ||||||
Ningbo Tuopu Group Co. Ltd. Class A |
1,400 | 13,120 | ||||||
Ningxia Baofeng Energy Group Co. Ltd. Class A |
9,500 | 20,416 | ||||||
NIO, Inc. ADR * |
29,503 | 310,077 | ||||||
Nongfu Spring Co. Ltd. Class H ~ |
38,000 | 219,101 | ||||||
North Industries Group Red Arrow Co. Ltd. Class A |
1,800 | 5,986 | ||||||
Offcn Education Technology Co. Ltd. Class A * |
7,900 | 5,615 | ||||||
Offshore Oil Engineering Co. Ltd. Class A |
5,200 | 4,639 | ||||||
Oppein Home Group, Inc. Class A |
700 | 12,314 | ||||||
Orient Securities Co. Ltd. Class A |
9,592 | 13,683 | ||||||
Ovctek China, Inc. Class A |
1,120 | 5,399 | ||||||
Pangang Group Vanadium Titanium & Resources Co. Ltd. Class A * |
11,100 | 7,977 | ||||||
PDD Holdings, Inc. ADR * |
10,893 | 826,779 | ||||||
Peoples Insurance Co. Group of China Ltd. Class A |
46,500 | 35,212 | ||||||
Peoples Insurance Co. Group of China Ltd. Class H |
94,000 | 31,366 | ||||||
Perfect World Co. Ltd. Class A |
2,497 | 6,186 | ||||||
PetroChina Co. Ltd. Class A |
22,900 | 19,718 | ||||||
PetroChina Co. Ltd. Class H |
462,000 | 272,919 | ||||||
Pharmaron Beijing Co. Ltd. Class A |
1,300 | 9,271 | ||||||
Pharmaron Beijing Co. Ltd. Class H ~ |
4,200 | 17,577 | ||||||
PICC Property & Casualty Co. Ltd. Class H |
148,000 | 150,976 | ||||||
Ping An Bank Co. Ltd. Class A |
25,000 | 45,556 | ||||||
Ping An Healthcare and Technology Co. Ltd. * ~ |
10,800 | 27,196 |
Shares |
Value |
|||||||
Ping An Insurance Group Co. of China Ltd. Class A |
13,400 | $88,770 | ||||||
Ping An Insurance Group Co. of China Ltd. Class H |
137,000 | 886,282 | ||||||
Pingdingshan Tianan Coal Mining Co. Ltd. Class A |
3,100 | 4,672 | ||||||
Poly Developments & Holdings Group Co. Ltd. Class A |
15,400 | 31,617 | ||||||
Pop Mart International Group Ltd. ~ |
11,800 | 32,133 | ||||||
Porton Pharma Solutions Ltd. Class A |
700 | 3,778 | ||||||
Postal Savings Bank of China Co. Ltd. Class A |
27,700 | 18,756 | ||||||
Postal Savings Bank of China Co. Ltd. Class H ~ |
179,000 | 106,157 | ||||||
Power Construction Corp. of China Ltd. Class A |
22,200 | 23,020 | ||||||
Proya Cosmetics Co. Ltd. Class A |
180 | 4,766 | ||||||
Pylon Technologies Co. Ltd. Class A |
226 | 8,081 | ||||||
Qinghai Salt Lake Industry Co. Ltd. Class A * |
7,000 | 22,770 | ||||||
Raytron Technology Co. Ltd. Class A |
570 | 4,060 | ||||||
Risen Energy Co. Ltd. Class A * |
1,500 | 6,089 | ||||||
Riyue Heavy Industry Co. Ltd. Class A |
1,200 | 3,887 | ||||||
Rongsheng Petrochemical Co. Ltd. Class A |
13,097 | 28,863 | ||||||
SAIC Motor Corp. Ltd. Class A |
10,100 | 21,137 | ||||||
Sailun Group Co. Ltd. Class A |
4,000 | 6,303 | ||||||
Sangfor Technologies, Inc. Class A |
500 | 10,782 | ||||||
Sany Heavy Equipment International Holdings Co. Ltd. |
24,000 | 24,946 | ||||||
Sany Heavy Industry Co. Ltd. Class A |
11,000 | 27,334 | ||||||
Satellite Chemical Co. Ltd. Class A |
4,298 | 10,000 | ||||||
SDIC Capital Co. Ltd. Class A |
8,200 | 8,282 | ||||||
Sealand Securities Co. Ltd. Class A |
6,700 | 3,315 | ||||||
Seazen Holdings Co. Ltd. Class A * |
3,014 | 7,147 | ||||||
SF Holding Co. Ltd. Class A |
6,300 | 50,719 | ||||||
SG Micro Corp. Class A |
475 | 10,748 | ||||||
Shaanxi Coal Industry Co. Ltd. Class A |
12,500 | 36,997 | ||||||
Shan Xi Hua Yang Group New Energy Co. Ltd. Class A |
3,100 | 6,225 | ||||||
Shandong Buchang Pharmaceuticals Co. Ltd. Class A |
1,200 | 3,464 | ||||||
Shandong Gold Mining Co. Ltd. Class A |
3,500 | 11,220 | ||||||
Shandong Gold Mining Co. Ltd. Class H ~ |
17,750 | 36,064 | ||||||
Shandong Hualu Hengsheng Chemical Co. Ltd. Class A |
2,710 | 13,904 | ||||||
Shandong Linglong Tyre Co. Ltd. Class A |
2,100 | 5,979 | ||||||
Shandong Nanshan Aluminum Co. Ltd. Class A |
15,800 | 7,797 | ||||||
Shandong Sun Paper Industry JSC Ltd. Class A |
3,800 | 6,735 | ||||||
Shandong Weifang Rainbow Chemical Co. Ltd. Class A |
400 | 3,986 | ||||||
Shandong Weigao Group Medical Polymer Co. Ltd. Class H |
53,600 | 85,648 | ||||||
Shanghai Aiko Solar Energy Co. Ltd. Class A * |
1,700 | 8,205 | ||||||
Shanghai Bairun Investment Holding Group Co. Ltd. Class A |
1,316 | 7,832 | ||||||
Shanghai Baosight Software Co. Ltd. Class A |
2,047 | 17,349 | ||||||
Shanghai Baosight Software Co. Ltd. Class B |
10,390 | 34,354 | ||||||
Shanghai Construction Group Co. Ltd. Class A |
12,800 | 5,089 | ||||||
Shanghai Electric Group Co. Ltd. Class A * |
16,300 | 10,493 | ||||||
Shanghai Electric Power Co. Ltd. Class A * |
3,600 | 5,205 | ||||||
Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A |
4,800 | 22,659 | ||||||
Shanghai Fosun Pharmaceutical Group Co. Ltd. Class H |
7,000 | 19,902 | ||||||
Shanghai Friendess Electronic Technology Corp. Ltd. Class A |
96 | 2,561 | ||||||
Shanghai Fudan Microelectronics Group Co. Ltd. Class A |
729 | 6,949 | ||||||
Shanghai Fudan Microelectronics Group Co. Ltd. Class H |
6,000 | 22,171 | ||||||
Shanghai International Airport Co. Ltd. Class A * |
1,600 | 12,981 | ||||||
Shanghai International Port Group Co. Ltd. Class A |
12,000 | 9,688 | ||||||
Shanghai Jinjiang International Hotels Co. Ltd. Class A |
1,200 | 10,992 | ||||||
Shanghai Junshi Biosciences Co. Ltd. Class A * |
985 | 6,876 | ||||||
Shanghai Lingang Holdings Corp. Ltd. Class A |
3,500 | 6,472 | ||||||
Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd. Class B |
23,700 | 18,321 | ||||||
Shanghai M&G Stationery, Inc. Class A |
1,200 | 8,575 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
282
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Shanghai Medicilon, Inc. Class A |
78 | $1,773 | ||||||
Shanghai Pharmaceuticals Holding Co. Ltd. Class A |
2,000 | 5,929 | ||||||
Shanghai Pharmaceuticals Holding Co. Ltd. Class H |
19,400 | 36,229 | ||||||
Shanghai Pudong Development Bank Co. Ltd. Class A |
37,936 | 39,703 | ||||||
Shanghai Putailai New Energy Technology Co. Ltd. Class A |
1,820 | 13,248 | ||||||
Shanghai RAAS Blood Products Co. Ltd. Class A |
8,600 | 8,047 | ||||||
Shanghai Rural Commercial Bank Co. Ltd. Class A |
12,500 | 10,483 | ||||||
Shanghai Yuyuan Tourist Mart Group Co. Ltd. Class A |
5,200 | 6,150 | ||||||
Shanxi Coking Coal Energy Group Co. Ltd. Class A |
5,300 | 8,479 | ||||||
Shanxi Luan Environmental Energy Development Co. Ltd. Class A |
3,900 | 12,434 | ||||||
Shanxi Meijin Energy Co. Ltd. Class A |
5,700 | 7,624 | ||||||
Shanxi Securities Co. Ltd. Class A |
3,800 | 3,214 | ||||||
Shanxi Taigang Stainless Steel Co. Ltd. Class A |
6,200 | 3,919 | ||||||
Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A |
1,540 | 60,897 | ||||||
Shenghe Resources Holding Co. Ltd. Class A |
2,300 | 4,741 | ||||||
Shengyi Technology Co. Ltd. Class A |
3,000 | 8,070 | ||||||
Shennan Circuits Co. Ltd. Class A |
700 | 9,415 | ||||||
Shenwan Hongyuan Group Co. Ltd. Class A |
28,900 | 17,551 | ||||||
Shenzhen Capchem Technology Co. Ltd. Class A |
920 | 6,553 | ||||||
Shenzhen Dynanonic Co. Ltd. Class A |
200 | 5,528 | ||||||
Shenzhen Energy Group Co. Ltd. Class A |
6,200 | 5,518 | ||||||
Shenzhen Inovance Technology Co. Ltd. Class A |
3,450 | 35,344 | ||||||
Shenzhen International Holdings Ltd. |
31,118 | 27,534 | ||||||
Shenzhen Kangtai Biological Products Co. Ltd. Class A |
1,460 | 6,725 | ||||||
Shenzhen Kedali Industry Co. Ltd. Class A |
300 | 5,664 | ||||||
Shenzhen Kstar Science & Technology Co. Ltd. Class A |
800 | 5,445 | ||||||
Shenzhen Mindray Bio-Medical Electronics Co. Ltd. Class A |
1,600 | 72,595 | ||||||
Shenzhen New Industries Biomedical Engineering Co. Ltd. Class A |
1,000 | 8,902 | ||||||
Shenzhen Overseas Chinese Town Co. Ltd. Class A |
11,200 | 7,861 | ||||||
Shenzhen Salubris Pharmaceuticals Co. Ltd. Class A |
1,500 | 7,727 | ||||||
Shenzhen SC New Energy Technology Corp. Class A |
500 | 8,332 | ||||||
Shenzhen Senior Technology Material Co. Ltd. Class A |
1,698 | 4,763 | ||||||
Shenzhen Sunlord Electronics Co. Ltd. Class A |
1,200 | 4,569 | ||||||
Shenzhen Transsion Holdings Co. Ltd. Class A |
1,037 | 15,283 | ||||||
Shenzhen YUTO Packaging Technology Co. Ltd. Class A |
1,200 | 4,867 | ||||||
Shenzhou International Group Holdings Ltd. |
17,800 | 186,725 | ||||||
Shijiazhuang Yiling Pharmaceutical Co. Ltd. Class A |
2,120 | 8,975 | ||||||
Sichuan Chuantou Energy Co. Ltd. Class A |
4,800 | 9,249 | ||||||
Sichuan Hebang Biotechnology Co. Ltd. Class A |
9,900 | 4,316 | ||||||
Sichuan Kelun Pharmaceutical Co. Ltd. Class A |
2,000 | 8,284 | ||||||
Sichuan New Energy Power Co. Ltd. * |
2,000 | 4,643 | ||||||
Sichuan Road & Bridge Co. Ltd. Class A |
6,700 | 13,455 | ||||||
Sichuan Swellfun Co. Ltd. Class A |
582 | 6,376 | ||||||
Sichuan Yahua Industrial Group Co. Ltd. Class A |
1,300 | 4,012 | ||||||
Sieyuan Electric Co. Ltd. Class A |
1,000 | 6,655 | ||||||
Silergy Corp. |
7,000 | 111,136 | ||||||
Sinoma Science & Technology Co. Ltd. Class A |
2,300 | 8,086 | ||||||
Sinomine Resource Group Co. Ltd. Class A |
620 | 6,352 | ||||||
Sinopec Shanghai Petrochemical Co. Ltd. Class A |
10,100 | 4,966 | ||||||
Sinopharm Group Co. Ltd. Class H |
28,800 | 87,027 | ||||||
Skshu Paint Co. Ltd. Class A * |
520 | 8,808 | ||||||
Smoore International Holdings Ltd. ~ |
39,000 | 49,927 | ||||||
Songcheng Performance Development Co. Ltd. Class A |
3,600 | 8,540 | ||||||
SooChow Securities Co. Ltd. Class A |
6,910 | 6,957 |
Shares |
Value |
|||||||
Southwest Securities Co. Ltd. Class A |
9,800 | $5,554 | ||||||
StarPower Semiconductor Ltd. Class A |
200 | 8,004 | ||||||
Sungrow Power Supply Co. Ltd. Class A |
1,900 | 29,055 | ||||||
Sunny Optical Technology Group Co. Ltd. |
15,400 | 185,826 | ||||||
Sunwoda Electronic Co. Ltd. Class A |
2,200 | 6,458 | ||||||
Suzhou Dongshan Precision Manufacturing Co. Ltd. Class A |
2,200 | 9,707 | ||||||
Suzhou Maxwell Technologies Co. Ltd. Class A |
260 | 11,540 | ||||||
TAL Education Group ADR * |
9,717 | 62,286 | ||||||
Tangshan Jidong Cement Co. Ltd. Class A |
3,300 | 4,167 | ||||||
TBEA Co. Ltd. Class A |
5,000 | 15,794 | ||||||
TCL Technology Group Corp. Class A |
22,000 | 14,177 | ||||||
TCL Zhonghuan Renewable Energy Technology Co. Ltd. Class A |
4,200 | 29,593 | ||||||
Tencent Holdings Ltd. |
134,100 | 6,553,372 | ||||||
Tencent Music Entertainment Group ADR * |
15,333 | 126,957 | ||||||
Thunder Software Technology Co. Ltd. Class A |
600 | 9,469 | ||||||
Tianjin 712 Communication & Broadcasting Co. Ltd. Class A |
900 | 4,054 | ||||||
Tianma Microelectronics Co. Ltd. Class A |
2,700 | 4,134 | ||||||
Tianqi Lithium Corp. Class A * |
1,900 | 20,917 | ||||||
Tianshan Aluminum Group Co. Ltd. Class A |
5,000 | 5,518 | ||||||
Tianshui Huatian Technology Co. Ltd. Class A |
4,400 | 6,483 | ||||||
Tibet Summit Resources Co. Ltd. Class A * |
1,000 | 3,335 | ||||||
Tingyi Cayman Islands Holding Corp. |
42,000 | 70,285 | ||||||
Titan Wind Energy Suzhou Co. Ltd. Class A |
2,400 | 5,155 | ||||||
Toly Bread Co. Ltd. Class A |
1,568 | 3,553 | ||||||
Tongcheng Travel Holdings Ltd. * |
26,400 | 57,466 | ||||||
TongFu Microelectronics Co. Ltd. Class A * |
2,000 | 6,477 | ||||||
Tongkun Group Co. Ltd. Class A |
3,100 | 6,479 | ||||||
Tongling Nonferrous Metals Group Co. Ltd. Class A |
13,600 | 6,366 | ||||||
Tongwei Co. Ltd. Class A |
5,800 | 32,863 | ||||||
Topchoice Medical Corp. Class A * |
400 | 7,522 | ||||||
Topsports International Holdings Ltd. ~ |
40,000 | 36,462 | ||||||
TravelSky Technology Ltd. Class H |
20,000 | 37,267 | ||||||
Trina Solar Co. Ltd. Class A |
2,801 | 21,221 | ||||||
Trip.com Group Ltd. ADR * |
11,749 | 442,585 | ||||||
Tsingtao Brewery Co. Ltd. Class A |
700 | 12,284 | ||||||
Tsingtao Brewery Co. Ltd. Class H |
14,000 | 153,023 | ||||||
Uni-President China Holdings Ltd. |
28,000 | 28,240 | ||||||
Unigroup Guoxin Microelectronics Co. Ltd. Class A |
1,139 | 18,424 | ||||||
Unisplendour Corp. Ltd. Class A |
3,700 | 15,799 | ||||||
Vipshop Holdings Ltd. ADR * |
9,010 | 136,772 | ||||||
Walvax Biotechnology Co. Ltd. Class A |
2,100 | 10,530 | ||||||
Wanda Film Holding Co. Ltd. Class A * |
2,800 | 5,830 | ||||||
Wanhua Chemical Group Co. Ltd. Class A |
4,100 | 57,145 | ||||||
Want Want China Holdings Ltd. |
102,000 | 65,626 | ||||||
Weibo Corp. ADR * |
1,526 | 30,612 | ||||||
Weichai Power Co. Ltd. Class A |
6,500 | 11,937 | ||||||
Weichai Power Co. Ltd. Class H |
45,000 | 72,208 | ||||||
Weihai Guangwei Composites Co. Ltd. Class A |
600 | 4,459 | ||||||
Wens Foodstuffs Group Co. Ltd. Class A |
8,500 | 25,321 | ||||||
Western Mining Co. Ltd. Class A |
3,100 | 5,708 | ||||||
Western Securities Co. Ltd. Class A |
6,400 | 5,934 | ||||||
Western Superconducting Technologies Co. Ltd. Class A |
502 | 5,970 | ||||||
Will Semiconductor Co. Ltd. Class A |
1,480 | 19,678 | ||||||
Wingtech Technology Co. Ltd. Class A |
1,600 | 12,898 | ||||||
Wuchan Zhongda Group Co. Ltd. Class A |
6,000 | 4,237 | ||||||
Wuhan DR Laser Technology Corp. Ltd. Class A |
200 | 3,149 | ||||||
Wuhan Guide Infrared Co. Ltd. Class A |
4,196 | 7,393 | ||||||
Wuliangye Yibin Co. Ltd. Class A |
5,000 | 142,852 | ||||||
WUS Printed Circuit Kunshan Co. Ltd. Class A |
2,700 | 8,451 | ||||||
WuXi AppTec Co. Ltd. Class A |
3,100 | 35,847 | ||||||
WuXi AppTec Co. Ltd. Class H ~ |
7,840 | 82,107 | ||||||
Wuxi Biologics Cayman, Inc. * ~ |
77,500 | 477,552 | ||||||
Wuxi Shangji Automation Co. Ltd. Class A |
520 | 7,736 | ||||||
XCMG Construction Machinery Co. Ltd. Class A |
15,200 | 15,334 | ||||||
Xiamen C & D, Inc. Class A |
4,000 | 7,014 | ||||||
Xiamen Faratronic Co. Ltd. Class A |
300 | 6,383 | ||||||
Xiamen Tungsten Co. Ltd. Class A |
1,600 | 4,746 | ||||||
Xiaomi Corp. Class B * ~ |
328,000 | 504,776 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
283
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Xinjiang Goldwind Science & Technology Co. Ltd. Class A |
4,400 | $7,077 | ||||||
Xinjiang Zhongtai Chemical Co. Ltd. Class A |
3,100 | 3,272 | ||||||
Xinyi Solar Holdings Ltd. |
106,081 | 127,170 | ||||||
XPeng, Inc. Class A * |
18,408 | 102,180 | ||||||
Xtep International Holdings Ltd. |
28,500 | 36,299 | ||||||
Yadea Group Holdings Ltd. ~ |
26,000 | 66,974 | ||||||
Yangzhou Yangjie Electronic Technology Co. Ltd. Class A |
700 | 5,611 | ||||||
Yankuang Energy Group Co. Ltd. Class A |
2,800 | 14,508 | ||||||
Yankuang Energy Group Co. Ltd. Class H |
34,000 | 121,735 | ||||||
Yantai Jereh Oilfield Services Group Co. Ltd. Class A |
1,400 | 5,769 | ||||||
Yealink Network Technology Corp. Ltd. Class A |
1,200 | 13,298 | ||||||
Yifeng Pharmacy Chain Co. Ltd. Class A |
980 | 8,263 | ||||||
Yihai International Holding Ltd. * |
10,000 | 29,381 | ||||||
Yihai Kerry Arawana Holdings Co. Ltd. Class A |
1,900 | 11,916 | ||||||
Yintai Gold Co. Ltd. Class A |
3,800 | 7,274 | ||||||
YongXing Special Materials Technology Co. Ltd. Class A |
500 | 6,131 | ||||||
Yonyou Network Technology Co. Ltd. Class A |
4,400 | 16,133 | ||||||
Youngor Group Co. Ltd. Class A |
5,900 | 5,601 | ||||||
Youngy Co. Ltd. Class A * |
300 | 3,314 | ||||||
YTO Express Group Co. Ltd. Class A |
4,400 | 11,718 | ||||||
Yuan Longping High-tech Agriculture Co. Ltd. Class A * |
1,500 | 3,626 | ||||||
Yuexiu Property Co. Ltd. |
29,600 | 44,756 | ||||||
Yum China Holdings, Inc. |
9,012 | 571,271 | ||||||
Yunda Holding Co. Ltd. Class A |
3,700 | 6,364 | ||||||
Yunnan Aluminium Co. Ltd. Class A |
4,600 | 9,103 | ||||||
Yunnan Baiyao Group Co. Ltd. Class A |
2,260 | 17,988 | ||||||
Yunnan Botanee Bio-Technology Group Co. Ltd. Class A |
400 | 7,457 | ||||||
Yunnan Energy New Material Co. Ltd. Class A |
1,200 | 19,913 | ||||||
Yunnan Tin Co. Ltd. Class A |
1,800 | 3,886 | ||||||
Yunnan Yuntianhua Co. Ltd. Class A * |
2,400 | 7,415 | ||||||
Zai Lab Ltd. ADR * |
1,898 | 63,127 | ||||||
Zangge Mining Co. Ltd. Class A |
2,000 | 7,041 | ||||||
Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A |
800 | 33,096 | ||||||
Zhaojin Mining Industry Co. Ltd. Class H * |
25,500 | 38,670 | ||||||
Zhefu Holding Group Co. Ltd. Class A |
7,800 | 4,624 | ||||||
Zhejiang Century Huatong Group Co. Ltd. Class A * |
10,020 | 8,794 | ||||||
Zhejiang China Commodities City Group Co. Ltd. Class A |
8,000 | 6,733 | ||||||
Zhejiang Chint Electrics Co. Ltd. Class A |
2,800 | 11,402 | ||||||
Zhejiang Dahua Technology Co. Ltd. Class A |
2,800 | 9,217 | ||||||
Zhejiang Dingli Machinery Co. Ltd. Class A |
700 | 5,584 | ||||||
Zhejiang Expressway Co. Ltd. Class H |
30,000 | 23,868 | ||||||
Zhejiang HangKe Technology, Inc. Co. Class A |
553 | 3,622 | ||||||
Zhejiang Huahai Pharmaceutical Co. Ltd. Class A |
2,100 | 6,164 | ||||||
Zhejiang Huayou Cobalt Co. Ltd. Class A |
2,075 | 16,627 | ||||||
Zhejiang Jingsheng Mechanical & Electrical Co. Ltd. Class A |
1,700 | 16,211 | ||||||
Zhejiang Jiuzhou Pharmaceutical Co. Ltd. Class A |
1,200 | 5,808 | ||||||
Zhejiang Juhua Co. Ltd. Class A |
3,500 | 9,002 | ||||||
Zhejiang NHU Co. Ltd. Class A |
4,004 | 10,458 | ||||||
Zhejiang Supcon Technology Co. Ltd. Class A |
447 | 6,779 | ||||||
Zhejiang Supor Co. Ltd. Class A |
600 | 4,723 | ||||||
Zhejiang Weiming Environment Protection Co. Ltd. Class A |
2,420 | 6,427 | ||||||
Zhejiang Weixing New Building Materials Co. Ltd. Class A |
2,000 | 7,062 | ||||||
Zhejiang Wolwo Bio-Pharmaceutical Co. Ltd. Class A |
700 | 4,850 | ||||||
Zhejiang Yongtai Technology Co. Ltd. Class A |
1,000 | 3,050 | ||||||
Zheshang Securities Co. Ltd. Class A |
4,900 | 7,191 | ||||||
ZhongAn Online P&C Insurance Co. Ltd. Class H * ~ |
15,300 | 48,080 | ||||||
Zhongji Innolight Co. Ltd. Class A |
900 | 7,714 | ||||||
Zhongsheng Group Holdings Ltd. |
13,000 | 64,056 | ||||||
Zhongtai Securities Co. Ltd. Class A |
8,000 | 7,811 |
Shares |
Value |
|||||||
Zhuzhou CRRC Times Electric Co. Ltd. |
12,100 | $52,645 | ||||||
Zhuzhou CRRC Times Electric Co. Ltd. Class A |
532 | 3,702 | ||||||
Zhuzhou Hongda Electronics Corp. Ltd. Class A |
600 | 3,989 | ||||||
Zhuzhou Kibing Group Co. Ltd. Class A |
3,900 | 5,929 | ||||||
Zibo Qixiang Tengda Chemical Co. Ltd. Class A * |
3,500 | 3,653 | ||||||
Zijin Mining Group Co. Ltd. Class A |
24,100 | 43,306 | ||||||
Zijin Mining Group Co. Ltd. Class H |
126,000 | 210,213 | ||||||
Zoomlion Heavy Industry Science & Technology Co. Ltd. Class A |
9,100 | 8,227 | ||||||
ZTE Corp. Class A |
4,500 | 21,327 | ||||||
ZTE Corp. Class H |
17,400 | 50,997 | ||||||
ZTO Express Cayman, Inc. ADR |
9,101 | 260,835 | ||||||
|
|
|||||||
45,893,650 | ||||||||
|
|
|||||||
Colombia - 0.0% |
| |||||||
Bancolombia SA |
5,490 | 41,248 | ||||||
Interconexion Electrica SA ESP |
9,542 | 31,042 | ||||||
|
|
|||||||
72,290 | ||||||||
|
|
|||||||
Czech Republic - 0.2% |
| |||||||
CEZ AS |
3,476 | 168,821 | ||||||
Komercni banka AS |
1,636 | 54,284 | ||||||
Moneta Money Bank AS ~ |
7,149 | 28,691 | ||||||
|
|
|||||||
251,796 | ||||||||
|
|
|||||||
Egypt - 0.1% |
| |||||||
Commercial International Bank Egypt SAE |
54,598 | 90,367 | ||||||
Eastern Co. SAE |
22,277 | 12,684 | ||||||
Egyptian Financial Group-Hermes Holding Co. * |
16,282 | 8,865 | ||||||
|
|
|||||||
111,916 | ||||||||
|
|
|||||||
Greece - 0.4% |
| |||||||
Alpha Services and Holdings SA * |
48,042 | 59,045 | ||||||
Eurobank Ergasias Services and Holdings SA * |
55,961 | 74,147 | ||||||
Hellenic Telecommunications Organization SA |
4,287 | 62,787 | ||||||
JUMBO SA |
2,492 | 52,880 | ||||||
Motor Oil Hellas Corinth Refineries SA |
1,312 | 33,676 | ||||||
Mytilineos SA |
2,155 | 61,435 | ||||||
National Bank of Greece SA * |
11,820 | 57,552 | ||||||
OPAP SA * |
4,303 | 69,016 | ||||||
Public Power Corp. SA * |
4,529 | 39,420 | ||||||
Terna Energy SA |
1,246 | 26,545 | ||||||
|
|
|||||||
536,503 | ||||||||
|
|
|||||||
Hong Kong - 0.2% |
| |||||||
Kingboard Laminates Holdings Ltd. |
20,000 | 20,905 | ||||||
Nine Dragons Paper Holdings Ltd. |
35,000 | 26,204 | ||||||
Orient Overseas International Ltd. |
3,000 | 57,586 | ||||||
Sino Biopharmaceutical Ltd. |
223,000 | 124,991 | ||||||
Vinda International Holdings Ltd. |
8,000 | 19,307 | ||||||
|
|
|||||||
248,993 | ||||||||
|
|
|||||||
Hungary - 0.2% |
| |||||||
MOL Hungarian Oil & Gas PLC |
8,828 | 64,655 | ||||||
OTP Bank Nyrt |
4,825 | 137,751 | ||||||
Richter Gedeon Nyrt |
3,009 | 62,825 | ||||||
|
|
|||||||
265,231 | ||||||||
|
|
|||||||
India - 12.7% |
| |||||||
ABB India Ltd. |
1,141 | 46,814 | ||||||
ACC Ltd. |
1,414 | 28,778 | ||||||
Adani Enterprises Ltd. |
3,683 | 78,811 | ||||||
Adani Green Energy Ltd. * |
6,823 | 73,251 | ||||||
Adani Ports & Special Economic Zone Ltd. |
11,373 | 87,837 | ||||||
Adani Power Ltd. * |
16,612 | 38,788 | ||||||
Adani Total Gas Ltd. |
5,921 | 62,438 | ||||||
Adani Transmission Ltd. * |
6,006 | 72,667 | ||||||
Ambuja Cements Ltd. * |
12,827 | 57,270 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
284
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Apollo Hospitals Enterprise Ltd. |
2,167 | $113,964 | ||||||
Asian Paints Ltd. |
8,261 | 278,327 | ||||||
AU Small Finance Bank Ltd. ~ |
3,586 | 25,370 | ||||||
Aurobindo Pharma Ltd. |
5,669 | 35,826 | ||||||
Avenue Supermarts Ltd. * ~ |
3,488 | 144,738 | ||||||
Axis Bank Ltd. |
48,993 | 513,288 | ||||||
Bajaj Auto Ltd. |
1,463 | 69,207 | ||||||
Bajaj Finance Ltd. |
5,868 | 402,631 | ||||||
Bajaj Finserv Ltd. |
8,232 | 127,368 | ||||||
Bajaj Holdings & Investment Ltd. |
575 | 41,512 | ||||||
Balkrishna Industries Ltd. |
1,666 | 39,667 | ||||||
Bandhan Bank Ltd. * ~ |
13,874 | 33,169 | ||||||
Bank of Baroda |
22,273 | 45,940 | ||||||
Berger Paints India Ltd. |
5,234 | 37,119 | ||||||
Bharat Electronics Ltd. |
78,673 | 93,635 | ||||||
Bharat Forge Ltd. |
5,517 | 51,864 | ||||||
Bharat Petroleum Corp. Ltd. |
18,690 | 78,453 | ||||||
Bharti Airtel Ltd. |
47,929 | 437,089 | ||||||
Britannia Industries Ltd. |
2,335 | 123,079 | ||||||
CG Power & Industrial Solutions Ltd. |
13,152 | 48,118 | ||||||
Cholamandalam Investment and Finance Co. Ltd. |
8,847 | 82,203 | ||||||
Cipla Ltd. |
10,424 | 114,410 | ||||||
Coal India Ltd. |
33,184 | 86,504 | ||||||
Colgate-Palmolive India Ltd. |
2,635 | 48,384 | ||||||
Container Corp. Of India Ltd. |
5,903 | 41,774 | ||||||
Dabur India Ltd. |
13,349 | 88,637 | ||||||
Divis Laboratories Ltd. |
2,858 | 98,411 | ||||||
DLF Ltd. |
13,314 | 58,015 | ||||||
Dr Reddys Laboratories Ltd. |
2,509 | 141,479 | ||||||
Eicher Motors Ltd. |
2,945 | 105,818 | ||||||
GAIL India Ltd. |
49,575 | 63,622 | ||||||
Godrej Consumer Products Ltd. * |
8,807 | 103,950 | ||||||
Godrej Properties Ltd. * |
2,693 | 33,910 | ||||||
Grasim Industries Ltd. |
5,674 | 112,941 | ||||||
Havells India Ltd. |
5,398 | 78,268 | ||||||
HCL Technologies Ltd. |
20,458 | 271,592 | ||||||
HDFC Life Insurance Co. Ltd. ~ |
20,828 | 126,659 | ||||||
Hero MotoCorp Ltd. |
2,368 | 67,803 | ||||||
Hindalco Industries Ltd. |
29,050 | 144,033 | ||||||
Hindustan Petroleum Corp. Ltd. |
13,747 | 39,710 | ||||||
Hindustan Unilever Ltd. |
17,711 | 553,102 | ||||||
Housing Development Finance Corp. Ltd. |
37,226 | 1,193,765 | ||||||
ICICI Bank Ltd. |
111,159 | 1,187,894 | ||||||
ICICI Lombard General Insurance Co. Ltd. ~ |
5,184 | 67,564 | ||||||
ICICI Prudential Life Insurance Co. Ltd. ~ |
7,744 | 41,151 | ||||||
Indian Hotels Co. Ltd. |
18,351 | 72,649 | ||||||
Indian Oil Corp. Ltd. |
60,839 | 57,791 | ||||||
Indian Railway Catering & Tourism Corp. Ltd. |
5,167 | 36,112 | ||||||
Indraprastha Gas Ltd. |
6,783 | 35,451 | ||||||
Indus Towers Ltd. |
14,499 | 25,276 | ||||||
Info Edge India Ltd. |
1,528 | 69,499 | ||||||
Infosys Ltd. |
72,507 | 1,267,650 | ||||||
InterGlobe Aviation Ltd. * ~ |
2,076 | 48,369 | ||||||
ITC Ltd. |
64,153 | 300,164 | ||||||
Jindal Steel & Power Ltd. |
7,695 | 51,350 | ||||||
JSW Steel Ltd. |
15,625 | 131,198 | ||||||
Jubilant Foodworks Ltd. |
8,503 | 45,671 | ||||||
Kotak Mahindra Bank Ltd. |
11,977 | 253,156 | ||||||
Larsen & Toubro Ltd. |
14,832 | 391,510 | ||||||
LTIMindtree Ltd. ~ |
1,911 | 111,282 | ||||||
Lupin Ltd. |
4,404 | 34,799 | ||||||
Mahindra & Mahindra Ltd. |
18,745 | 264,894 | ||||||
Marico Ltd. |
11,142 | 65,160 | ||||||
Maruti Suzuki India Ltd. |
2,603 | 263,238 | ||||||
Mphasis Ltd. |
1,824 | 40,098 | ||||||
MRF Ltd. |
41 | 41,993 | ||||||
Muthoot Finance Ltd. |
2,593 | 31,007 | ||||||
Nestle India Ltd. |
727 | 174,558 | ||||||
NTPC Ltd. |
83,537 | 178,347 | ||||||
Oil & Natural Gas Corp. Ltd. |
54,212 | 99,909 | ||||||
Page Industries Ltd. |
132 | 60,975 | ||||||
Petronet LNG Ltd. |
16,156 | 45,070 |
Shares |
Value |
|||||||
PI Industries Ltd. |
1,633 | $60,341 | ||||||
Pidilite Industries Ltd. |
3,285 | 94,231 | ||||||
Power Grid Corp. of India Ltd. |
67,611 | 186,139 | ||||||
Reliance Industries Ltd. |
65,571 | 1,864,483 | ||||||
Samvardhana Motherson International Ltd. |
43,787 | 35,871 | ||||||
SBI Cards & Payment Services Ltd. |
5,086 | 45,902 | ||||||
SBI Life Insurance Co. Ltd. ~ |
9,699 | 130,120 | ||||||
Shree Cement Ltd. |
233 | 74,406 | ||||||
Shriram Finance Ltd. |
4,836 | 74,345 | ||||||
Siemens Ltd. |
1,534 | 62,242 | ||||||
SRF Ltd. |
3,193 | 93,968 | ||||||
State Bank of India |
38,444 | 245,755 | ||||||
Sun Pharmaceutical Industries Ltd. |
20,665 | 247,614 | ||||||
Tata Consultancy Services Ltd. |
19,703 | 772,315 | ||||||
Tata Consumer Products Ltd. |
12,007 | 103,760 | ||||||
Tata Elxsi Ltd. |
737 | 53,665 | ||||||
Tata Motors Ltd. * |
35,769 | 184,286 | ||||||
Tata Power Co. Ltd. |
30,972 | 71,976 | ||||||
Tata Steel Ltd. |
157,858 | 201,659 | ||||||
Tech Mahindra Ltd. |
12,580 | 169,587 | ||||||
Titan Co. Ltd. |
7,648 | 234,902 | ||||||
Torrent Pharmaceuticals Ltd. |
2,183 | 40,889 | ||||||
Trent Ltd. |
3,905 | 65,509 | ||||||
Tube Investments of India Ltd. |
2,287 | 71,059 | ||||||
TVS Motor Co. Ltd. |
4,605 | 60,528 | ||||||
UltraTech Cement Ltd. |
2,176 | 202,202 | ||||||
United Spirits Ltd. * |
6,262 | 57,782 | ||||||
UPL Ltd. |
10,507 | 91,926 | ||||||
Varun Beverages Ltd. |
4,896 | 82,840 | ||||||
Vedanta Ltd. |
16,024 | 53,679 | ||||||
Wipro Ltd. |
29,545 | 131,812 | ||||||
Yes Bank Ltd. * |
247,726 | 45,491 | ||||||
Zomato Ltd. * |
64,438 | 40,294 | ||||||
|
|
|||||||
18,387,371 | ||||||||
|
|
|||||||
Indonesia - 1.8% |
| |||||||
Aneka Tambang Tbk |
181,100 | 25,279 | ||||||
P.T. Adaro Energy Indonesia Tbk |
310,000 | 60,093 | ||||||
P.T. Astra International Tbk |
436,000 | 174,701 | ||||||
P.T. Bank Central Asia Tbk |
1,194,800 | 699,011 | ||||||
P.T. Bank Mandiri Persero Tbk |
402,000 | 276,836 | ||||||
P.T. Bank Negara Indonesia Persero Tbk |
160,600 | 100,494 | ||||||
P.T. Bank Rakyat Indonesia Persero Tbk |
1,468,897 | 465,424 | ||||||
P.T. Barito Pacific Tbk |
607,991 | 33,522 | ||||||
P.T. Charoen Pokphand Indonesia Tbk |
158,900 | 52,941 | ||||||
P.T. Indah Kiat Pulp & Paper Tbk |
58,900 | 29,520 | ||||||
P.T. Indofood CBP Sukses Makmur Tbk |
50,200 | 33,426 | ||||||
P.T. Indofood Sukses Makmur Tbk |
94,500 | 39,124 | ||||||
P.T. Kalbe Farma Tbk |
453,800 | 63,600 | ||||||
P.T. Merdeka Copper Gold Tbk * |
259,662 | 72,717 | ||||||
P.T. Sarana Menara Nusantara Tbk |
439,100 | 27,162 | ||||||
P.T. Semen Indonesia Persero Tbk |
72,933 | 30,706 | ||||||
P.T. Sumber Alfaria Trijaya Tbk |
357,700 | 68,822 | ||||||
P.T. Telkom Indonesia Persero Tbk |
1,066,700 | 289,655 | ||||||
P.T. Unilever Indonesia Tbk |
164,400 | 47,697 | ||||||
P.T. United Tractors Tbk |
36,200 | 70,351 | ||||||
P.T. Vale Indonesia Tbk * |
53,500 | 23,772 | ||||||
|
|
|||||||
2,684,853 | ||||||||
|
|
|||||||
Kuwait - 0.8% |
| |||||||
Agility Public Warehousing Co. KSC |
31,690 | 64,513 | ||||||
Boubyan Bank KSCP |
28,160 | 59,063 | ||||||
Gulf Bank KSCP |
34,462 | 33,559 | ||||||
Kuwait Finance House KSCP |
158,998 | 430,198 | ||||||
Mabanee Co. KPSC |
13,355 | 31,783 | ||||||
Mobile Telecommunications Co. |
46,594 | 82,193 | ||||||
National Bank of Kuwait SAKP |
154,534 | 533,128 | ||||||
|
|
|||||||
1,234,437 | ||||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
285
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Luxembourg - 0.0% |
| |||||||
Reinet Investments SCA |
2,953 | $60,546 | ||||||
|
|
|||||||
Malaysia - 1.4% |
| |||||||
AMMB Holdings Bhd |
39,300 | 33,486 | ||||||
Axiata Group Bhd |
59,300 | 40,561 | ||||||
CELCOMDIGI Bhd |
67,000 | 65,987 | ||||||
CIMB Group Holdings Bhd |
149,320 | 179,952 | ||||||
Dialog Group Bhd |
79,100 | 42,406 | ||||||
Gamuda Bhd |
39,400 | 36,506 | ||||||
Genting Bhd |
45,900 | 48,583 | ||||||
Genting Malaysia Bhd |
63,800 | 38,389 | ||||||
HAP Seng Consolidated Bhd |
13,400 | 15,502 | ||||||
Hong Leong Bank Bhd |
14,000 | 64,216 | ||||||
Hong Leong Financial Group Bhd |
5,000 | 20,379 | ||||||
IHH Healthcare Bhd |
37,900 | 49,370 | ||||||
Inari Amertron Bhd |
60,200 | 33,792 | ||||||
IOI Corp. Bhd |
54,200 | 46,929 | ||||||
Kuala Lumpur Kepong Bhd |
9,300 | 43,893 | ||||||
Malayan Banking Bhd |
103,888 | 201,911 | ||||||
Malaysia Airports Holdings Bhd * |
14,300 | 22,036 | ||||||
Maxis Bhd |
50,600 | 47,439 | ||||||
MISC Bhd |
28,900 | 47,376 | ||||||
MR DIY Group M Bhd ~ |
50,750 | 17,867 | ||||||
Nestle Malaysia Bhd |
1,500 | 46,606 | ||||||
Petronas Chemicals Group Bhd |
51,700 | 83,081 | ||||||
Petronas Dagangan Bhd |
6,400 | 30,926 | ||||||
Petronas Gas Bhd |
17,100 | 63,866 | ||||||
PPB Group Bhd |
13,800 | 51,791 | ||||||
Press Metal Aluminium Holdings Bhd |
79,900 | 88,496 | ||||||
Public Bank Bhd |
313,600 | 284,594 | ||||||
QL Resources Bhd |
23,600 | 31,074 | ||||||
RHB Bank Bhd |
32,031 | 40,527 | ||||||
Sime Darby Bhd |
58,700 | 28,618 | ||||||
Sime Darby Plantation Bhd |
44,702 | 43,401 | ||||||
Telekom Malaysia Bhd |
24,681 | 27,434 | ||||||
Tenaga Nasional Bhd |
55,800 | 116,770 | ||||||
Top Glove Corp. Bhd * |
114,900 | 24,556 | ||||||
|
|
|||||||
2,058,320 | ||||||||
|
|
|||||||
Mexico - 2.7% |
| |||||||
Alfa SAB de CV Class A |
62,200 | 39,419 | ||||||
America Movil SAB de CV B |
593,900 | 623,892 | ||||||
Arca Continental SAB de CV |
9,400 | 85,362 | ||||||
Banco del Bajio SA ~ |
16,700 | 60,795 | ||||||
Cemex SAB de CV * |
326,400 | 179,140 | ||||||
Coca-Cola Femsa SAB de CV |
11,315 | 90,878 | ||||||
Fibra Uno Administracion SA de CV REIT |
66,000 | 92,187 | ||||||
Fomento Economico Mexicano SAB de CV |
41,900 | 399,468 | ||||||
Gruma SAB de CV Class B |
4,390 | 64,763 | ||||||
Grupo Aeroportuario del Pacifico SAB de CV Class B |
7,700 | 149,817 | ||||||
Grupo Aeroportuario del Sureste SAB de CV Class B |
4,175 | 127,710 | ||||||
Grupo Bimbo SAB de CV |
28,700 | 144,424 | ||||||
Grupo Carso SAB de CV Series A1 |
9,700 | 48,209 | ||||||
Grupo Financiero Banorte SAB de CV Class O |
55,900 | 471,210 | ||||||
Grupo Financiero Inbursa SAB de CV Class O * |
46,200 | 99,348 | ||||||
Grupo Mexico SAB de CV |
67,100 | 317,738 | ||||||
Grupo Televisa SAB |
51,800 | 54,818 | ||||||
Industrias Penoles SAB de CV * |
3,000 | 44,251 | ||||||
Kimberly-Clark de Mexico SAB de CV Class A |
32,800 | 69,095 | ||||||
Operadora De Sites Mexicanos SAB de CV Class A-1 |
27,900 | 27,590 | ||||||
Orbia Advance Corp. SAB de CV |
21,600 | 46,964 | ||||||
Promotora y Operadora de Infraestructura SAB de CV |
4,910 | 49,032 | ||||||
Southern Copper Corp. |
1,832 | 139,690 |
Shares |
Value |
|||||||
Wal-Mart de Mexico SAB de CV |
112,800 | $450,887 | ||||||
|
|
|||||||
3,876,687 | ||||||||
|
|
|||||||
Peru - 0.2% |
| |||||||
Cia de Minas Buenaventura SAA ADR |
4,647 | 38,013 | ||||||
Credicorp Ltd. |
1,542 | 204,145 | ||||||
|
|
|||||||
242,158 | ||||||||
|
|
|||||||
Philippines - 0.7% |
| |||||||
Aboitiz Equity Ventures, Inc. |
36,310 | 32,436 | ||||||
ACEN Corp. * |
13,230 | 1,498 | ||||||
Ayala Corp. |
5,330 | 64,051 | ||||||
Ayala Land, Inc. |
158,800 | 77,829 | ||||||
Bank of the Philippine Islands |
42,332 | 80,035 | ||||||
BDO Unibank, Inc. |
50,982 | 120,913 | ||||||
International Container Terminal Services, Inc. |
21,850 | 85,791 | ||||||
JG Summit Holdings, Inc. |
64,760 | 57,167 | ||||||
Jollibee Foods Corp. |
9,610 | 39,616 | ||||||
Manila Electric Co. |
6,060 | 34,729 | ||||||
Metropolitan Bank & Trust Co. |
38,660 | 41,697 | ||||||
Monde Nissin Corp. ~ |
135,200 | 24,457 | ||||||
PLDT, Inc. |
1,860 | 48,710 | ||||||
SM Investments Corp. |
5,260 | 86,339 | ||||||
SM Prime Holdings, Inc. |
248,700 | 150,476 | ||||||
Universal Robina Corp. |
18,740 | 49,791 | ||||||
|
|
|||||||
995,535 | ||||||||
|
|
|||||||
Poland - 0.7% |
| |||||||
Allegro.eu SA * ~ |
7,964 | 54,377 | ||||||
Bank Polska Kasa Opieki SA |
3,958 | 78,737 | ||||||
CD Projekt SA |
1,410 | 36,501 | ||||||
Cyfrowy Polsat SA |
5,518 | 21,441 | ||||||
Dino Polska SA * ~ |
1,056 | 95,917 | ||||||
KGHM Polska Miedz SA |
3,016 | 85,663 | ||||||
LPP SA |
24 | 53,286 | ||||||
mBank SA * |
320 | 22,825 | ||||||
PGE Polska Grupa Energetyczna SA * |
19,336 | 28,159 | ||||||
Polski Koncern Naftowy ORLEN SA |
13,754 | 185,651 | ||||||
Powszechna Kasa Oszczednosci Bank Polski SA |
18,847 | 125,080 | ||||||
Powszechny Zaklad Ubezpieczen SA |
13,022 | 106,035 | ||||||
Santander Bank Polska SA |
771 | 52,220 | ||||||
|
|
|||||||
945,892 | ||||||||
|
|
|||||||
Qatar - 0.9% |
| |||||||
Barwa Real Estate Co. |
46,027 | 33,045 | ||||||
Commercial Bank PSQC |
69,735 | 111,712 | ||||||
Industries Qatar QSC |
32,573 | 116,722 | ||||||
Masraf Al Rayan QSC |
120,175 | 98,077 | ||||||
Mesaieed Petrochemical Holding Co. |
94,724 | 50,168 | ||||||
Ooredoo QPSC |
17,243 | 44,532 | ||||||
Qatar Electricity & Water Co. QSC |
9,479 | 43,932 | ||||||
Qatar Fuel QSC |
12,847 | 61,402 | ||||||
Qatar Gas Transport Co. Ltd. |
53,684 | 51,133 | ||||||
Qatar International Islamic Bank QSC |
21,188 | 57,707 | ||||||
Qatar Islamic Bank SAQ |
35,623 | 174,594 | ||||||
Qatar National Bank QPSC |
99,466 | 439,455 | ||||||
|
|
|||||||
1,282,479 | ||||||||
|
|
|||||||
Romania - 0.0% |
| |||||||
NEPI Rockcastle NV * |
9,838 | 57,083 | ||||||
|
|
|||||||
Russia - 0.0% |
| |||||||
Alrosa PJSC * W ± |
104,260 | - | ||||||
Gazprom PJSC * W ± |
58,020 | - | ||||||
Gazprom PJSC ADR (OTC) * W ± |
8,195 | - | ||||||
Gazprom PJSC ADR (SEAQ) * W ± |
194,171 | - | ||||||
Inter RAO UES PJSC * W ± |
1,499,500 | - | ||||||
LUKOIL PJSC * W ± |
2,583 | - |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
286
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
LUKOIL PJSC ADR (SEAQ) * W ± |
13,502 | $- | ||||||
Magnit PJSC GDR * ~ W ± |
3,308 | - | ||||||
Magnit PJSC GDR (LI) * ~ W ± |
10,327 | - | ||||||
MMC Norilsk Nickel PJSC * W ± |
298 | - | ||||||
MMC Norilsk Nickel PJSC ADR * W ± |
21,092 | - | ||||||
Mobile TeleSystems PJSC ADR * W ± |
17,555 | - | ||||||
Moscow Exchange MICEX-RTS PJSC * W ± |
58,150 | - | ||||||
Novatek PJSC GDR (LI) * ~ W ± |
3,551 | - | ||||||
Novolipetsk Steel PJSC * W ± |
4,620 | - | ||||||
Novolipetsk Steel PJSC GDR * W ± |
5,477 | - | ||||||
Ozon Holdings PLC ADR * W ± |
1,985 | - | ||||||
PhosAgro PJSC * W ± |
34 | - | ||||||
PhosAgro PJSC GDR * ~ W ± |
5,315 | - | ||||||
Polyus PJSC * W ± |
241 | - | ||||||
Polyus PJSC ADR * W ± |
2,028 | - | ||||||
Polyus PJSC GDR * ~ W ± |
262 | - | ||||||
Rosneft Oil Co. PJSC * W ± |
3,660 | - | ||||||
Rosneft Oil Co. PJSC GDR * ~ W ± |
41,896 | - | ||||||
Sberbank of Russia PJSC * W ± |
41,510 | - | ||||||
Sberbank of Russia PJSC ADR (OTC) * W ± |
2,527 | - | ||||||
Sberbank of Russia PJSC ADR (SEAQ) * W ± |
92,176 | - | ||||||
Severstal PAO * W ± |
812 | - | ||||||
Severstal PAO GDR * ~ W ± |
7,476 | - | ||||||
Surgutneftegas PJSC ADR (LI) * W ± |
49,470 | - | ||||||
Tatneft PJSC * W ± |
9,037 | - | ||||||
Tatneft PJSC ADR * W ± |
7,942 | - | ||||||
TCS Group Holding PLC GDR * ~ W ± |
4,555 | - | ||||||
United Co. RUSAL International PJSC * W ± |
114,970 | - | ||||||
VK Co. Ltd. GDR * W ± |
4,153 | - | ||||||
VTB Bank PJSC * W ± |
21,000,000 | 1 | ||||||
VTB Bank PJSC GDR * ~ W ± |
57,906 | - | ||||||
X5 Retail Group NV GDR * ~ W ± |
4,746 | - | ||||||
Yandex NV Class A * W ± |
11,538 | - | ||||||
|
|
|||||||
1 | ||||||||
|
|
|||||||
Saudi Arabia - 3.8% |
| |||||||
ACWA Power Co. |
1,732 | 65,118 | ||||||
Advanced Petrochemical Co. |
2,744 | 35,076 | ||||||
Al Rajhi Bank |
42,215 | 831,046 | ||||||
Alinma Bank |
21,107 | 166,440 | ||||||
Almarai Co. JSC |
5,386 | 81,146 | ||||||
Arab National Bank |
12,922 | 89,214 | ||||||
Arabian Internet & Communications Services Co. |
517 | 34,361 | ||||||
Bank Al-Jazira |
8,654 | 42,178 | ||||||
Bank AlBilad * |
10,553 | 112,618 | ||||||
Banque Saudi Fransi |
12,721 | 123,412 | ||||||
Bupa Arabia for Cooperative Insurance Co. |
1,615 | 74,776 | ||||||
Dallah Healthcare Co. |
775 | 31,872 | ||||||
Dar Al Arkan Real Estate Development Co. * |
11,394 | 48,907 | ||||||
Dr Sulaiman Al Habib Medical Services Group Co. |
1,885 | 146,731 | ||||||
Elm Co. |
517 | 61,098 | ||||||
Emaar Economic City * |
8,525 | 18,352 | ||||||
Etihad Etisalat Co. |
8,126 | 89,595 | ||||||
Jarir Marketing Co. |
1,266 | 55,141 | ||||||
Mobile Telecommunications Co. Saudi Arabia * |
9,480 | 32,919 | ||||||
Mouwasat Medical Services Co. |
1,055 | 66,256 | ||||||
Nahdi Medical Co. |
840 | 41,472 | ||||||
National Industrialization Co. * |
7,062 | 23,111 | ||||||
Rabigh Refining & Petrochemical Co. * |
8,998 | 24,183 | ||||||
Riyad Bank |
29,076 | 231,458 | ||||||
SABIC Agri-Nutrients Co. |
4,614 | 157,297 | ||||||
Sahara International Petrochemical Co. |
7,740 | 78,537 | ||||||
Saudi Arabian Mining Co. * |
18,555 | 318,451 | ||||||
Saudi Arabian Oil Co. ~ |
52,130 | 449,319 | ||||||
Saudi Basic Industries Corp. |
19,386 | 467,814 | ||||||
Saudi British Bank |
19,916 | 187,647 | ||||||
Saudi Electricity Co. |
17,952 | 112,025 | ||||||
Saudi Industrial Investment Group |
7,966 | 53,188 | ||||||
Saudi Investment Bank |
10,554 | 46,856 | ||||||
Saudi Kayan Petrochemical Co. * |
15,834 | 51,227 | ||||||
Saudi National Bank |
47,260 | 578,734 |
Shares |
Value |
|||||||
Saudi Research & Media Group * |
776 | $40,867 | ||||||
Saudi Tadawul Group Holding Co. |
1,033 | 39,844 | ||||||
Saudi Telecom Co. |
32,308 | 345,566 | ||||||
Savola Group |
5,637 | 42,109 | ||||||
Yanbu National Petrochemical Co. |
5,453 | 61,453 | ||||||
|
|
|||||||
5,557,414 | ||||||||
|
|
|||||||
South Africa - 3.2% |
| |||||||
Absa Group Ltd. |
18,256 | 186,600 | ||||||
African Rainbow Minerals Ltd. |
2,423 | 31,390 | ||||||
Anglo American Platinum Ltd. |
1,143 | 61,358 | ||||||
Aspen Pharmacare Holdings Ltd. |
8,167 | 84,446 | ||||||
Bid Corp. Ltd. |
7,224 | 161,683 | ||||||
Bidvest Group Ltd. |
6,230 | 88,672 | ||||||
Capitec Bank Holdings Ltd. |
1,875 | 177,726 | ||||||
Clicks Group Ltd. |
5,254 | 75,875 | ||||||
Discovery Ltd. * |
10,757 | 84,250 | ||||||
Exxaro Resources Ltd. |
5,266 | 55,040 | ||||||
FirstRand Ltd. |
108,723 | 368,506 | ||||||
Foschini Group Ltd. |
7,125 | 36,371 | ||||||
Gold Fields Ltd. |
19,199 | 257,182 | ||||||
Growthpoint Properties Ltd. REIT |
73,825 | 54,151 | ||||||
Harmony Gold Mining Co. Ltd. |
11,983 | 49,671 | ||||||
Impala Platinum Holdings Ltd. |
18,367 | 169,056 | ||||||
Kumba Iron Ore Ltd. |
1,388 | 35,094 | ||||||
Mr Price Group Ltd. |
5,528 | 44,770 | ||||||
MTN Group Ltd. |
36,522 | 261,660 | ||||||
MultiChoice Group |
8,102 | 56,134 | ||||||
Naspers Ltd. Class N |
4,690 | 869,030 | ||||||
Nedbank Group Ltd. |
9,913 | 120,732 | ||||||
Northam Platinum Holdings Ltd. * |
7,262 | 59,042 | ||||||
Old Mutual Ltd. |
105,902 | 70,201 | ||||||
OUTsurance Group Ltd. |
18,149 | 35,605 | ||||||
Pepkor Holdings Ltd. ~ |
43,562 | 42,180 | ||||||
Remgro Ltd. |
11,393 | 86,019 | ||||||
Sanlam Ltd. |
38,375 | 121,494 | ||||||
Sasol Ltd. |
12,297 | 166,177 | ||||||
Shoprite Holdings Ltd. |
10,826 | 135,102 | ||||||
Sibanye Stillwater Ltd. |
60,965 | 125,881 | ||||||
Standard Bank Group Ltd. |
28,914 | 280,345 | ||||||
Vodacom Group Ltd. |
13,841 | 94,870 | ||||||
Woolworths Holdings Ltd. |
20,809 | 74,716 | ||||||
|
|
|||||||
4,621,029 | ||||||||
|
|
|||||||
South Korea - 11.0% |
| |||||||
Amorepacific Corp. |
629 | 66,388 | ||||||
BGF retail Co. Ltd. |
168 | 23,403 | ||||||
Celltrion Healthcare Co. Ltd. |
1,949 | 90,791 | ||||||
Celltrion Pharm, Inc. * |
383 | 24,565 | ||||||
Celltrion, Inc. |
2,207 | 255,103 | ||||||
Cheil Worldwide, Inc. |
1,489 | 21,333 | ||||||
CJ CheilJedang Corp. * |
178 | 44,594 | ||||||
CJ Corp. |
314 | 25,170 | ||||||
Coway Co. Ltd. |
1,192 | 48,109 | ||||||
DB Insurance Co. Ltd. |
991 | 57,015 | ||||||
Doosan Bobcat, Inc. |
1,080 | 36,324 | ||||||
Doosan Enerbility Co. Ltd. * |
8,935 | 117,334 | ||||||
E-MART, Inc. |
450 | 36,598 | ||||||
Ecopro BM Co. Ltd. |
1,053 | 182,479 | ||||||
F&F Co. Ltd. |
371 | 39,919 | ||||||
GS Holdings Corp. |
1,002 | 31,082 | ||||||
Hana Financial Group, Inc. |
6,373 | 199,596 | ||||||
Hankook Tire & Technology Co. Ltd. |
1,602 | 42,850 | ||||||
Hanmi Pharm Co. Ltd. |
149 | 29,371 | ||||||
Hanon Systems |
4,026 | 27,242 | ||||||
Hanwha Galleria Co. Ltd. * |
1,858 | 3,039 | ||||||
Hanwha Solutions Corp. * |
1,647 | 67,937 | ||||||
HD Hyundai Co. Ltd. |
1,022 | 45,664 | ||||||
HLB, Inc. * |
2,354 | 63,327 | ||||||
HMM Co. Ltd. |
5,793 | 91,092 | ||||||
Hotel Shilla Co. Ltd. |
676 | 42,483 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any, on page 297 |
287
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
HYBE Co. Ltd. * |
401 | $58,555 | ||||||
Hyundai Engineering & Construction Co. Ltd. |
1,678 | 47,190 | ||||||
Hyundai Glovis Co. Ltd. |
404 | 49,339 | ||||||
Hyundai Heavy Industries Co. Ltd. * |
383 | 29,606 | ||||||
Hyundai Mipo Dockyard Co. Ltd. * |
516 | 27,909 | ||||||
Hyundai Mobis Co. Ltd. |
1,320 | 219,238 | ||||||
Hyundai Motor Co. |
3,010 | 428,240 | ||||||
Hyundai Steel Co. |
1,869 | 49,962 | ||||||
Industrial Bank of Korea |
5,619 | 43,700 | ||||||
Kakao Corp. |
6,713 | 317,920 | ||||||
Kakao Games Corp. * |
796 | 25,798 | ||||||
KakaoBank Corp. |
3,079 | 57,547 | ||||||
Kakaopay Corp. * |
573 | 24,705 | ||||||
Kangwon Land, Inc. |
2,070 | 31,750 | ||||||
KB Financial Group, Inc. |
8,366 | 305,545 | ||||||
Kia Corp. |
5,676 | 354,228 | ||||||
Korea Aerospace Industries Ltd. |
1,573 | 57,443 | ||||||
Korea Electric Power Corp. * |
5,531 | 76,652 | ||||||
Korea Investment Holdings Co. Ltd. |
899 | 38,160 | ||||||
Korea Shipbuilding & Offshore Engineering Co. Ltd. * |
915 | 54,716 | ||||||
Korea Zinc Co. Ltd. |
193 | 82,115 | ||||||
Korean Air Lines Co. Ltd. |
3,964 | 70,774 | ||||||
Krafton, Inc. * |
634 | 90,175 | ||||||
KT&G Corp. |
2,366 | 152,058 | ||||||
Kumho Petrochemical Co. Ltd. |
379 | 41,923 | ||||||
L&F Co. Ltd. |
503 | 121,943 | ||||||
LG Chem Ltd. |
1,065 | 584,891 | ||||||
LG Corp. |
2,033 | 129,454 | ||||||
LG Display Co. Ltd. * |
5,009 | 63,619 | ||||||
LG Electronics, Inc. |
2,291 | 204,457 | ||||||
LG Energy Solution Ltd. * |
756 | 340,618 | ||||||
LG H&H Co. Ltd. |
202 | 93,324 | ||||||
LG Innotek Co. Ltd. |
306 | 64,172 | ||||||
LG Uplus Corp. |
4,607 | 38,382 | ||||||
Lotte Chemical Corp. |
443 | 65,083 | ||||||
Lotte Energy Materials Corp. |
496 | 26,386 | ||||||
Lotte Shopping Co. Ltd. |
244 | 15,398 | ||||||
Meritz Financial Group, Inc. |
1,501 | 44,716 | ||||||
Meritz Securities Co. Ltd. |
5,509 | 25,856 | ||||||
Mirae Asset Securities Co. Ltd. |
5,959 | 29,684 | ||||||
NAVER Corp. |
2,826 | 442,809 | ||||||
NCSoft Corp. |
355 | 101,733 | ||||||
Netmarble Corp. * ~ |
462 | 23,687 | ||||||
NH Investment & Securities Co. Ltd. |
3,211 | 21,767 | ||||||
Orion Corp. |
511 | 53,632 | ||||||
Pan Ocean Co. Ltd. |
5,754 | 25,794 | ||||||
Pearl Abyss Corp. * |
622 | 22,311 | ||||||
POSCO Chemical Co. Ltd. |
584 | 123,089 | ||||||
POSCO Holdings, Inc. |
1,548 | 437,962 | ||||||
S-1 Corp. |
368 | 15,640 | ||||||
S-Oil Corp. |
970 | 59,750 | ||||||
Samsung Biologics Co. Ltd. * ~ |
383 | 232,161 | ||||||
Samsung C&T Corp. |
1,812 | 150,901 | ||||||
Samsung Electro-Mechanics Co. Ltd. |
1,206 | 142,394 | ||||||
Samsung Electronics Co. Ltd. |
102,859 | 5,086,476 | ||||||
Samsung Engineering Co. Ltd. * |
3,377 | 82,531 | ||||||
Samsung Fire & Marine Insurance Co. Ltd. |
663 | 104,802 | ||||||
Samsung Heavy Industries Co. Ltd. * |
13,268 | 52,900 | ||||||
Samsung Life Insurance Co. Ltd. |
1,724 | 83,138 | ||||||
Samsung SDI Co. Ltd. |
1,185 | 673,126 | ||||||
Samsung SDS Co. Ltd. |
750 | 67,072 | ||||||
Samsung Securities Co. Ltd. |
1,345 | 32,876 | ||||||
SD Biosensor, Inc. |
786 | 12,790 | ||||||
Shinhan Financial Group Co. Ltd. |
9,863 | 267,931 | ||||||
SK Biopharmaceuticals Co. Ltd. * |
674 | 32,845 | ||||||
SK Bioscience Co. Ltd. * |
495 | 27,548 | ||||||
SK Hynix, Inc. |
11,759 | 804,726 | ||||||
SK IE Technology Co. Ltd. * ~ |
537 | 29,631 | ||||||
SK Innovation Co. Ltd. * |
1,195 | 165,575 | ||||||
SK Square Co. Ltd. * |
2,132 | 65,442 | ||||||
SK, Inc. |
799 | 106,460 |
Shares |
Value |
|||||||
SKC Co. Ltd. |
449 | $39,683 | ||||||
Woori Financial Group, Inc. |
11,762 | 103,466 | ||||||
Yuhan Corp. |
1,158 | 45,084 | ||||||
|
|
|||||||
16,033,771 | ||||||||
|
|
|||||||
Taiwan - 14.6% |
| |||||||
Accton Technology Corp. |
11,000 | 115,611 | ||||||
Acer, Inc. |
62,000 | 57,465 | ||||||
Advantech Co. Ltd. |
9,000 | 110,104 | ||||||
ASE Technology Holding Co. Ltd. |
71,000 | 263,485 | ||||||
Asia Cement Corp. |
50,000 | 71,198 | ||||||
Asustek Computer, Inc. |
15,000 | 134,580 | ||||||
AUO Corp. * |
141,400 | 85,906 | ||||||
Catcher Technology Co. Ltd. |
14,000 | 87,518 | ||||||
Cathay Financial Holding Co. Ltd. |
184,202 | 253,618 | ||||||
Chailease Holding Co. Ltd. |
31,155 | 229,125 | ||||||
Chang Hwa Commercial Bank Ltd. |
102,336 | 58,423 | ||||||
Cheng Shin Rubber Industry Co. Ltd. |
38,000 | 45,696 | ||||||
China Airlines Ltd. |
62,000 | 39,924 | ||||||
China Development Financial Holding Corp. |
326,214 | 134,981 | ||||||
China Steel Corp. |
254,000 | 258,053 | ||||||
Chunghwa Telecom Co. Ltd. |
82,000 | 322,333 | ||||||
Compal Electronics, Inc. |
90,000 | 74,745 | ||||||
CTBC Financial Holding Co. Ltd. |
378,000 | 272,209 | ||||||
Delta Electronics, Inc. |
42,000 | 416,709 | ||||||
E Ink Holdings, Inc. |
18,000 | 109,866 | ||||||
E.Sun Financial Holding Co. Ltd. |
276,663 | 230,397 | ||||||
Eclat Textile Co. Ltd. |
4,000 | 65,312 | ||||||
eMemory Technology, Inc. * |
1,000 | 61,558 | ||||||
Eva Airways Corp. |
55,000 | 48,809 | ||||||
Evergreen Marine Corp. Taiwan Ltd. |
22,000 | 115,222 | ||||||
Far Eastern New Century Corp. |
69,000 | 71,016 | ||||||
Far EasTone Telecommunications Co. Ltd. |
34,000 | 84,027 | ||||||
Feng TAY Enterprise Co. Ltd. |
10,000 | 63,654 | ||||||
First Financial Holding Co. Ltd. |
227,954 | 198,409 | ||||||
Formosa Chemicals & Fibre Corp. |
76,000 | 172,495 | ||||||
Formosa Petrochemical Corp. |
25,000 | 69,894 | ||||||
Formosa Plastics Corp. |
89,000 | 268,692 | ||||||
Fubon Financial Holding Co. Ltd. |
160,270 | 298,279 | ||||||
Giant Manufacturing Co. Ltd. |
7,181 | 41,749 | ||||||
Globalwafers Co. Ltd. |
5,000 | 85,471 | ||||||
Hon Hai Precision Industry Co. Ltd. |
269,000 | 920,786 | ||||||
Hotai Motor Co. Ltd. |
6,000 | 126,630 | ||||||
Hua Nan Financial Holdings Co. Ltd. |
191,316 | 140,742 | ||||||
Innolux Corp. * |
195,990 | 94,034 | ||||||
Inventec Corp. |
54,000 | 56,758 | ||||||
Largan Precision Co. Ltd. |
2,000 | 143,388 | ||||||
Lite-On Technology Corp. |
43,000 | 103,508 | ||||||
MediaTek, Inc. * |
33,000 | 855,562 | ||||||
Mega Financial Holding Co. Ltd. |
240,250 | 260,380 | ||||||
Micro-Star International Co. Ltd. |
15,000 | 71,297 | ||||||
momo.com, Inc. |
1,200 | 35,749 | ||||||
Nan Ya Plastics Corp. |
103,000 | 262,373 | ||||||
Nan Ya Printed Circuit Board Corp. |
5,000 | 46,870 | ||||||
Nanya Technology Corp. |
27,000 | 59,220 | ||||||
Nien Made Enterprise Co. Ltd. |
4,000 | 43,080 | ||||||
Novatek Microelectronics Corp. |
12,000 | 170,526 | ||||||
Pegatron Corp. |
43,000 | 98,670 | ||||||
PharmaEssentia Corp. * |
4,000 | 56,290 | ||||||
Pou Chen Corp. |
48,000 | 49,334 | ||||||
Powerchip Semiconductor Manufacturing Corp. |
64,000 | 69,919 | ||||||
President Chain Store Corp. |
12,000 | 106,350 | ||||||
Quanta Computer, Inc. |
58,000 | 169,913 | ||||||
Realtek Semiconductor Corp. |
10,000 | 127,644 | ||||||
Ruentex Development Co. Ltd. |
37,000 | 43,091 | ||||||
Shanghai Commercial & Savings Bank Ltd. |
83,178 | 128,380 | ||||||
Shin Kong Financial Holding Co. Ltd. |
282,344 | 78,305 | ||||||
SinoPac Financial Holdings Co. Ltd. |
232,204 | 126,957 | ||||||
Synnex Technology International Corp. |
29,000 | 58,510 | ||||||
Taishin Financial Holding Co. Ltd. |
232,148 | 127,039 | ||||||
Taiwan Business Bank |
130,000 | 57,577 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
288
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Taiwan Cement Corp. |
131,493 | $157,266 | ||||||
Taiwan Cooperative Financial Holding Co. Ltd. |
211,016 | 181,208 | ||||||
Taiwan High Speed Rail Corp. |
42,000 | 41,748 | ||||||
Taiwan Mobile Co. Ltd. |
37,000 | 122,769 | ||||||
Taiwan Semiconductor Manufacturing Co. Ltd. |
531,000 | 9,305,566 | ||||||
Uni-President Enterprises Corp. |
104,000 | 245,855 | ||||||
Unimicron Technology Corp. |
27,000 | 131,686 | ||||||
United Microelectronics Corp. |
255,000 | 446,233 | ||||||
Vanguard International Semiconductor Corp. |
19,000 | 60,781 | ||||||
Voltronic Power Technology Corp. |
1,000 | 56,944 | ||||||
Walsin Lihwa Corp. |
56,727 | 91,364 | ||||||
Wan Hai Lines Ltd. |
15,500 | 35,080 | ||||||
Win Semiconductors Corp. |
7,000 | 42,190 | ||||||
Winbond Electronics Corp. |
64,000 | 55,997 | ||||||
Wiwynn Corp. |
2,000 | 74,203 | ||||||
WPG Holdings Ltd. |
34,000 | 56,177 | ||||||
Yageo Corp. |
7,571 | 131,979 | ||||||
Yang Ming Marine Transport Corp. |
38,000 | 80,671 | ||||||
Yuanta Financial Holding Co. Ltd. |
215,620 | 158,564 | ||||||
Zhen Ding Technology Holding Ltd. |
14,000 | 52,677 | ||||||
|
|
|||||||
21,234,373 | ||||||||
|
|
|||||||
Thailand - 2.1% |
| |||||||
Advanced Info Service PCL |
3,400 | 21,091 | ||||||
Advanced Info Service PCL NVDR |
22,200 | 137,708 | ||||||
Airports of Thailand PCL * |
31,600 | 65,668 | ||||||
Airports of Thailand PCL NVDR * |
60,700 | 126,142 | ||||||
Asset World Corp. PCL NVDR |
172,200 | 29,242 | ||||||
B Grimm Power PCL |
5,900 | 7,018 | ||||||
B Grimm Power PCL NVDR |
11,300 | 13,442 | ||||||
Bangkok Dusit Medical Services PCL NVDR |
222,500 | 192,081 | ||||||
Bangkok Expressway & Metro PCL |
14,600 | 3,780 | ||||||
Bangkok Expressway & Metro PCL NVDR |
150,000 | 38,839 | ||||||
Banpu PCL |
172,900 | 54,691 | ||||||
Berli Jucker PCL NVDR |
25,900 | 29,035 | ||||||
BTS Group Holdings PCL NVDR |
170,100 | 35,375 | ||||||
Bumrungrad Hospital PCL NVDR |
12,400 | 82,053 | ||||||
Carabao Group PCL NVDR |
6,500 | 18,256 | ||||||
Central Pattana PCL NVDR |
43,500 | 87,599 | ||||||
Central Retail Corp. PCL NVDR |
39,000 | 51,191 | ||||||
Charoen Pokphand Foods PCL NVDR |
83,500 | 51,769 | ||||||
CP ALL PCL NVDR |
125,800 | 228,422 | ||||||
Delta Electronics Thailand PCL |
1,100 | 36,906 | ||||||
Delta Electronics Thailand PCL NVDR |
5,600 | 187,884 | ||||||
Electricity Generating PCL NVDR |
5,700 | 25,954 | ||||||
Energy Absolute PCL |
2,500 | 5,562 | ||||||
Energy Absolute PCL NVDR |
33,600 | 74,751 | ||||||
Global Power Synergy PCL NVDR |
15,200 | 30,349 | ||||||
Gulf Energy Development PCL NVDR |
63,200 | 97,686 | ||||||
Home Product Center PCL |
30,300 | 12,792 | ||||||
Home Product Center PCL NVDR |
97,100 | 40,993 | ||||||
Indorama Ventures PCL NVDR |
36,300 | 36,679 | ||||||
Intouch Holdings PCL NVDR |
24,200 | 52,441 | ||||||
JMT Network Services PCL NVDR |
14,100 | 19,243 | ||||||
Kasikornbank PCL NVDR |
12,800 | 49,653 | ||||||
Krung Thai Bank PCL NVDR |
75,300 | 36,361 | ||||||
Krungthai Card PCL NVDR |
19,400 | 30,820 | ||||||
Land & Houses PCL |
2,800 | 807 | ||||||
Land & Houses PCL NVDR |
177,200 | 51,089 | ||||||
Minor International PCL NVDR * |
68,090 | 64,371 | ||||||
Muangthai Capital PCL |
4,900 | 4,963 | ||||||
Muangthai Capital PCL NVDR |
11,000 | 11,141 | ||||||
Osotspa PCL NVDR |
32,400 | 29,160 | ||||||
PTT Exploration & Production PCL NVDR |
29,900 | 131,390 | ||||||
PTT Global Chemical PCL |
8,100 | 10,861 | ||||||
PTT Global Chemical PCL NVDR |
40,500 | 54,307 | ||||||
PTT Oil & Retail Business PCL NVDR |
64,600 | 40,279 | ||||||
PTT PCL |
62,600 | 58,045 | ||||||
PTT PCL NVDR |
152,800 | 141,007 | ||||||
Ratch Group PCL NVDR |
23,400 | 26,390 | ||||||
SCB X PCL |
4,250 | 12,769 |
Shares |
Value |
|||||||
SCB X PCL NVDR |
9,100 | $27,341 | ||||||
SCG Packaging PCL NVDR |
27,800 | 37,684 | ||||||
Siam Cement PCL |
3,400 | 31,365 | ||||||
Siam Cement PCL NVDR |
13,200 | 121,770 | ||||||
Srisawad Corp. PCL NVDR |
14,800 | 22,903 | ||||||
Thai Oil PCL |
4,014 | 6,168 | ||||||
Thai Oil PCL NVDR |
22,483 | 34,549 | ||||||
Thai Union Group PCL |
25,000 | 10,322 | ||||||
Thai Union Group PCL NVDR |
36,700 | 15,152 | ||||||
True Corp. PCL * |
78,087 | 19,182 | ||||||
True Corp. PCL NVDR |
182,474 | 44,825 | ||||||
|
|
|||||||
3,019,316 | ||||||||
|
|
|||||||
Turkey - 0.6% |
| |||||||
Akbank T.A.S |
67,201 | 59,462 | ||||||
Aselsan Elektronik Sanayi Ve Ticaret AS |
14,723 | 39,907 | ||||||
BIM Birlesik Magazalar AS |
9,809 | 76,185 | ||||||
Eregli Demir ve Celik Fabrikalari TAS * |
30,163 | 55,812 | ||||||
Ford Otomotiv Sanayi AS |
1,513 | 46,207 | ||||||
Haci Omer Sabanci Holding AS |
21,964 | 45,426 | ||||||
Hektas Ticaret TAS * |
24,525 | 34,593 | ||||||
KOC Holding AS |
16,388 | 65,461 | ||||||
Koza Altin Isletmeleri AS |
20,697 | 23,336 | ||||||
Pegasus Hava Tasimaciligi AS * |
991 | 23,473 | ||||||
Sasa Polyester Sanayi AS * |
9,650 | 50,515 | ||||||
Turk Hava Yollari AO * |
11,889 | 73,622 | ||||||
Turkcell Iletisim Hizmetleri AS |
26,053 | 43,597 | ||||||
Turkiye Is Bankasi AS Class C |
75,392 | 51,041 | ||||||
Turkiye Petrol Rafinerileri AS |
2,964 | 82,055 | ||||||
Turkiye Sise ve Cam Fabrikalari AS |
29,687 | 65,505 | ||||||
Yapi ve Kredi Bankasi AS |
63,680 | 31,896 | ||||||
|
|
|||||||
868,093 | ||||||||
|
|
|||||||
United Arab Emirates - 1.2% |
| |||||||
Abu Dhabi Commercial Bank PJSC |
63,061 | 142,712 | ||||||
Abu Dhabi Islamic Bank PJSC |
31,287 | 85,096 | ||||||
Abu Dhabi National Oil Co. for Distribution PJSC |
67,293 | 76,592 | ||||||
Aldar Properties PJSC |
82,944 | 105,187 | ||||||
Dubai Islamic Bank PJSC |
62,379 | 89,056 | ||||||
Emaar Properties PJSC |
142,733 | 218,096 | ||||||
Emirates NBD Bank PJSC |
40,817 | 146,064 | ||||||
Emirates Telecommunications Group Co. PJSC |
74,920 | 450,153 | ||||||
First Abu Dhabi Bank PJSC |
95,176 | 334,278 | ||||||
Multiply Group PJSC * |
72,359 | 63,949 | ||||||
Q Holding PJSC * |
44,267 | 30,636 | ||||||
|
|
|||||||
1,741,819 | ||||||||
|
|
|||||||
United Kingdom - 0.0% |
| |||||||
Pepco Group NV * |
3,717 | 35,801 | ||||||
|
|
|||||||
United States - 0.1% |
| |||||||
JBS SA |
16,700 | 58,814 | ||||||
Legend Biotech Corp. ADR * |
1,261 | 60,805 | ||||||
Parade Technologies Ltd. |
2,000 | 69,244 | ||||||
|
|
|||||||
188,863 | ||||||||
|
|
|||||||
Total Common Stocks |
138,404,415 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
289
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Principal |
Value |
|||||||
SHORT-TERM INVESTMENTS - 2.1% |
| |||||||
Repurchase Agreement - 2.0% |
| |||||||
Fixed Income Clearing Corp. |
$2,943,716 | $2,943,716 | ||||||
|
|
|||||||
U.S. Treasury Bills - 0.1% |
| |||||||
4.664% due 06/29/23 |
100,000 | 98,882 | ||||||
|
|
|||||||
Total Short-Term Investments |
3,042,598 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 99.4% |
144,317,382 | |||||||
|
|
|||||||
DERIVATIVES - 0.1% |
183,711 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 0.5% |
688,557 | |||||||
|
|
|||||||
NET ASSETS - 100.0% |
$145,189,650 | |||||||
|
|
Notes to Schedule of Investments
(a) | Investments with a total aggregate value of $1 or less than 0.1% of the Funds net assets were valued by the Trustee Valuation Committee or determined by a valuation committee established under the Valuation Policy and then subsequently submitted for approval or ratification to either the Trustee Valuation Committee or the Board of Trustees. |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
290
PACIFIC SELECT FUND
PD EMERGING MARKETS INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
(b) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||
MSCI Emerging Markets Index |
06/23 | 81 | $3,848,064 | $4,031,775 | $183,711 | |||||||||||||
|
|
(c) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Rights |
$184 | $184 | $- | $- | |||||||||||||
Warrants |
353 | - | 353 | - | ||||||||||||||
Preferred Stocks |
||||||||||||||||||
Brazil |
1,692,402 | 1,692,402 | - | - | ||||||||||||||
Chile |
247,166 | - | 247,166 | - | ||||||||||||||
Colombia |
61,004 | 61,004 | - | - | ||||||||||||||
South Korea |
869,260 | - | 869,260 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Preferred Stocks |
2,869,832 | 1,753,406 | 1,116,426 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Common Stocks |
||||||||||||||||||
Australia |
219,559 | - | 219,559 | - | ||||||||||||||
Brazil |
5,140,097 | 5,140,097 | - | - | ||||||||||||||
Chile |
538,539 | 484,077 | 54,462 | - | ||||||||||||||
China |
45,893,650 | 3,753,632 | 42,140,018 | - | ||||||||||||||
Colombia |
72,290 | 72,290 | - | - | ||||||||||||||
Czech Republic |
251,796 | 168,821 | 82,975 | - | ||||||||||||||
Egypt |
111,916 | - | 111,916 | - | ||||||||||||||
Greece |
536,503 | - | 536,503 | - | ||||||||||||||
Hong Kong |
248,993 | - | 248,993 | - | ||||||||||||||
Hungary |
265,231 | - | 265,231 | - | ||||||||||||||
India |
18,387,371 | - | 18,387,371 | - | ||||||||||||||
Indonesia |
2,684,853 | - | 2,684,853 | - | ||||||||||||||
Kuwait |
1,234,437 | - | 1,234,437 | - | ||||||||||||||
Luxembourg |
60,546 | 60,546 | - | - | ||||||||||||||
Malaysia |
2,058,320 | 193,337 | 1,864,983 | - | ||||||||||||||
Mexico |
3,876,687 | 3,876,687 | - | - | ||||||||||||||
Peru |
242,158 | 242,158 | - | - | ||||||||||||||
Philippines |
995,535 | - | 995,535 | - | ||||||||||||||
Poland |
945,892 | - | 945,892 | - | ||||||||||||||
Qatar |
1,282,479 | 43,932 | 1,238,547 | - | ||||||||||||||
Romania |
57,083 | 57,083 | - | - | ||||||||||||||
Russia |
1 | - | - | 1 | ||||||||||||||
Saudi Arabia |
5,557,414 | 74,776 | 5,482,638 | - | ||||||||||||||
South Africa |
4,621,029 | 1,409,309 | 3,211,720 | - | ||||||||||||||
South Korea |
16,033,771 | 70,976 | 15,962,795 | - | ||||||||||||||
Taiwan |
21,234,373 | - | 21,234,373 | - | ||||||||||||||
Thailand |
3,019,316 | - | 3,019,316 | - | ||||||||||||||
Turkey |
868,093 | 116,020 | 752,073 | - | ||||||||||||||
United Arab Emirates |
1,741,819 | 76,592 | 1,665,227 | - | ||||||||||||||
United Kingdom |
35,801 | - | 35,801 | - | ||||||||||||||
United States |
188,863 | 119,619 | 69,244 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
138,404,415 | 15,959,952 | 122,444,462 | 1 | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investments |
3,042,598 | - | 3,042,598 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
183,711 | 183,711 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$144,501,093 | $17,897,253 | $126,603,839 | $1 | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
291
PACIFIC SELECT FUND
PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO
Schedule of Investments
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
PREFERRED STOCKS - 0.5% |
| |||||||
Germany - 0.5% |
| |||||||
Bayerische Motoren Werke AG |
2,166 | $221,405 | ||||||
Dr Ing hc F Porsche AG * |
4,154 | 533,162 | ||||||
Henkel AG & Co. KGaA |
6,499 | 508,442 | ||||||
Porsche Automobil Holding SE |
5,586 | 320,676 | ||||||
Sartorius AG |
888 | 374,253 | ||||||
Volkswagen AG |
6,773 | 924,327 | ||||||
|
|
|||||||
2,882,265 | ||||||||
|
|
|||||||
Total Preferred Stocks |
2,882,265 | |||||||
|
|
|||||||
COMMON STOCKS - 98.0% |
| |||||||
Australia - 6.6% |
| |||||||
ANZ Group Holdings Ltd. |
109,122 | 1,681,583 | ||||||
BHP Group Ltd. |
184,804 | 5,842,380 | ||||||
Coles Group Ltd. |
48,826 | 589,948 | ||||||
Commonwealth Bank of Australia |
61,817 | 4,081,499 | ||||||
Flutter Entertainment PLC * |
6,097 | 1,109,479 | ||||||
Fortescue Metals Group Ltd. |
61,777 | 928,605 | ||||||
Glencore PLC * |
375,755 | 2,162,175 | ||||||
Goodman Group REIT |
61,740 | 783,470 | ||||||
Macquarie Group Ltd. |
13,394 | 1,585,846 | ||||||
National Australia Bank Ltd. |
115,010 | 2,143,022 | ||||||
Newcrest Mining Ltd. |
32,603 | 581,976 | ||||||
Ramsay Health Care Ltd. |
6,746 | 301,432 | ||||||
Rio Tinto Ltd. |
13,542 | 1,088,096 | ||||||
Rio Tinto PLC |
41,025 | 2,784,691 | ||||||
Santos Ltd. |
115,125 | 529,851 | ||||||
Telstra Group Ltd. |
147,530 | 417,717 | ||||||
Transurban Group >> |
112,176 | 1,071,099 | ||||||
Wesfarmers Ltd. |
41,388 | 1,398,853 | ||||||
Westpac Banking Corp. |
127,723 | 1,859,597 | ||||||
Woodside Energy Group Ltd. |
69,267 | 1,547,435 | ||||||
Woolworths Group Ltd. |
44,378 | 1,128,209 | ||||||
|
|
|||||||
33,616,963 | ||||||||
|
|
|||||||
Austria - 0.0% |
| |||||||
Verbund AG |
2,484 | 216,065 | ||||||
|
|
|||||||
Belgium - 0.7% |
| |||||||
Anheuser-Busch InBev SA/NV |
31,687 | 2,112,250 | ||||||
Groupe Bruxelles Lambert NV |
3,628 | 309,613 | ||||||
KBC Group NV |
9,125 | 626,986 | ||||||
UCB SA |
4,612 | 412,203 | ||||||
|
|
|||||||
3,461,052 | ||||||||
|
|
|||||||
Brazil - 0.2% |
| |||||||
Wheaton Precious Metals Corp. |
16,488 | 794,083 | ||||||
|
|
|||||||
Canada - 10.3% |
| |||||||
Agnico Eagle Mines Ltd. |
17,951 | 915,149 | ||||||
Alimentation Couche-Tard, Inc. |
29,580 | 1,487,208 | ||||||
Bank of Montreal |
24,701 | 2,200,153 | ||||||
Bank of Nova Scotia |
43,462 | 2,189,018 | ||||||
Barrick Gold Corp. |
13,874 | 260,723 | ||||||
Barrick Gold Corp. (TSE) |
50,388 | 935,431 | ||||||
BCE, Inc. |
2,661 | 119,199 | ||||||
Brookfield Corp. |
51,677 | 1,683,565 | ||||||
Canadian Imperial Bank of Commerce |
33,051 | 1,401,519 | ||||||
Canadian National Railway Co. |
20,962 | 2,473,407 |
Shares |
Value |
|||||||
Canadian Natural Resources Ltd. (TSE) |
40,385 | $2,234,846 | ||||||
Canadian Pacific Railway Ltd. |
33,932 | 2,612,877 | ||||||
Cenovus Energy, Inc. |
52,502 | 916,017 | ||||||
CGI, Inc. * |
7,711 | 743,143 | ||||||
Constellation Software, Inc. |
734 | 1,379,969 | ||||||
Enbridge, Inc. |
73,867 | 2,816,401 | ||||||
Fairfax Financial Holdings Ltd. |
828 | 550,670 | ||||||
Fortis, Inc. |
17,522 | 744,831 | ||||||
Franco-Nevada Corp. |
6,992 | 1,019,854 | ||||||
George Weston Ltd. |
2,588 | 342,960 | ||||||
Great-West Lifeco, Inc. |
10,198 | 270,287 | ||||||
Hydro One Ltd. ~ |
12,013 | 342,035 | ||||||
Imperial Oil Ltd. |
7,723 | 392,750 | ||||||
Intact Financial Corp. |
6,393 | 914,935 | ||||||
Loblaw Cos. Ltd. |
5,921 | 539,615 | ||||||
Magna International, Inc. |
9,905 | 530,539 | ||||||
Manulife Financial Corp. |
68,716 | 1,260,937 | ||||||
National Bank of Canada |
12,279 | 878,291 | ||||||
Nutrien Ltd. |
18,977 | 1,401,476 | ||||||
Pembina Pipeline Corp. |
20,121 | 651,792 | ||||||
Power Corp. of Canada |
20,111 | 513,973 | ||||||
Restaurant Brands International, Inc. |
10,630 | 713,622 | ||||||
Rogers Communications, Inc. Class B (TSE) |
12,928 | 599,193 | ||||||
Royal Bank of Canada |
50,448 | 4,824,568 | ||||||
Shaw Communications, Inc. Class B (TSE) |
17,408 | 520,888 | ||||||
Shopify, Inc. Class A * |
43,416 | 2,081,655 | ||||||
Sun Life Financial, Inc. |
21,390 | 999,308 | ||||||
Suncor Energy, Inc. |
49,394 | 1,533,535 | ||||||
TC Energy Corp. |
36,917 | 1,435,980 | ||||||
TELUS Corp. |
17,097 | 339,410 | ||||||
Thomson Reuters Corp. |
6,140 | 798,859 | ||||||
Toronto-Dominion Bank |
66,143 | 3,961,728 | ||||||
|
|
|||||||
52,532,316 | ||||||||
|
|
|||||||
China - 0.6% |
| |||||||
BOC Hong Kong Holdings Ltd. |
135,000 | 420,289 | ||||||
Budweiser Brewing Co. APAC Ltd. ~ |
62,800 | 191,121 | ||||||
Prosus NV * |
29,240 | 2,289,609 | ||||||
Wilmar International Ltd. |
70,100 | 222,085 | ||||||
|
|
|||||||
3,123,104 | ||||||||
|
|
|||||||
Denmark - 3.0% |
| |||||||
AP Moller - Maersk AS Class A |
113 | 200,467 | ||||||
AP Moller - Maersk AS Class B |
183 | 332,641 | ||||||
Carlsberg AS Class B |
3,551 | 550,997 | ||||||
Coloplast AS Class B |
4,334 | 570,646 | ||||||
DSV AS |
6,829 | 1,324,125 | ||||||
Genmab AS * |
2,404 | 908,725 | ||||||
Novo Nordisk AS Class B |
60,391 | 9,591,375 | ||||||
Orsted AS ~ |
6,901 | 588,434 | ||||||
Vestas Wind Systems AS |
36,840 | 1,073,680 | ||||||
|
|
|||||||
15,141,090 | ||||||||
|
|
|||||||
Finland - 0.9% |
| |||||||
Fortum OYJ |
16,366 | 250,703 | ||||||
Kone OYJ Class B |
12,399 | 646,658 | ||||||
Neste OYJ |
15,434 | 762,499 | ||||||
Nokia OYJ (OMXH) |
197,412 | 969,073 | ||||||
Nordea Bank Abp |
120,688 | 1,288,741 | ||||||
Sampo OYJ Class A |
17,502 | 825,834 | ||||||
|
|
|||||||
4,743,508 | ||||||||
|
|
|||||||
France - 9.9% |
| |||||||
Air Liquide SA |
19,094 | 3,196,118 | ||||||
Airbus SE |
21,566 | 2,880,516 | ||||||
AXA SA |
68,620 | 2,094,116 | ||||||
BNP Paribas SA |
40,526 | 2,420,113 | ||||||
Capgemini SE |
5,974 | 1,110,181 | ||||||
Cie de Saint-Gobain |
17,874 | 1,016,022 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
292
PACIFIC SELECT FUND
PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Cie Generale des Etablissements Michelin SCA |
24,749 | $756,534 | ||||||
Credit Agricole SA |
44,398 | 500,863 | ||||||
Danone SA |
23,422 | 1,457,401 | ||||||
Dassault Systemes SE |
24,315 | 1,003,019 | ||||||
Engie SA |
66,630 | 1,054,399 | ||||||
EssilorLuxottica SA |
10,609 | 1,913,044 | ||||||
Hermes International |
1,155 | 2,339,170 | ||||||
Kering SA |
2,732 | 1,782,432 | ||||||
LOreal SA |
8,811 | 3,937,130 | ||||||
LVMH Moet Hennessy Louis Vuitton SE |
10,098 | 9,269,038 | ||||||
Orange SA |
72,780 | 864,639 | ||||||
Pernod Ricard SA |
7,528 | 1,704,572 | ||||||
Safran SA |
12,469 | 1,845,868 | ||||||
Sartorius Stedim Biotech |
1,009 | 309,556 | ||||||
Societe Generale SA |
29,454 | 663,638 | ||||||
Thales SA |
3,893 | 575,567 | ||||||
TotalEnergies SE |
90,770 | 5,352,132 | ||||||
Vinci SA |
19,634 | 2,250,887 | ||||||
|
|
|||||||
50,296,955 | ||||||||
|
|
|||||||
Germany - 7.5% |
| |||||||
adidas AG |
5,910 | 1,047,680 | ||||||
Allianz SE |
14,713 | 3,396,291 | ||||||
BASF SE |
33,507 | 1,759,072 | ||||||
Bayer AG |
35,839 | 2,289,453 | ||||||
Bayerische Motoren Werke AG |
12,079 | 1,323,841 | ||||||
Beiersdorf AG |
3,677 | 478,331 | ||||||
Daimler Truck Holding AG * |
16,512 | 557,264 | ||||||
Deutsche Bank AG |
75,397 | 766,727 | ||||||
Deutsche Boerse AG |
6,931 | 1,349,535 | ||||||
Deutsche Post AG |
36,161 | 1,693,623 | ||||||
Deutsche Telekom AG |
118,242 | 2,865,275 | ||||||
E.ON SE |
81,904 | 1,021,729 | ||||||
Fresenius SE & Co. KGaA |
15,410 | 416,120 | ||||||
Hannover Rueck SE |
2,200 | 430,277 | ||||||
Henkel AG & Co. KGaA |
3,792 | 275,856 | ||||||
Infineon Technologies AG |
47,641 | 1,956,386 | ||||||
Mercedes-Benz Group AG |
29,271 | 2,251,021 | ||||||
Merck KGaA |
4,715 | 879,040 | ||||||
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen |
5,111 | 1,786,987 | ||||||
RWE AG |
23,435 | 1,008,369 | ||||||
SAP SE |
38,094 | 4,810,147 | ||||||
Siemens AG |
27,908 | 4,521,205 | ||||||
Siemens Healthineers AG ~ |
10,288 | 593,124 | ||||||
Volkswagen AG |
1,074 | 184,218 | ||||||
Vonovia SE |
26,130 | 492,153 | ||||||
|
|
|||||||
38,153,724 | ||||||||
|
|
|||||||
Hong Kong - 2.4% |
| |||||||
AIA Group Ltd. |
431,400 | 4,524,245 | ||||||
CK Asset Holdings Ltd. |
72,562 | 439,919 | ||||||
CLP Holdings Ltd. |
60,000 | 433,568 | ||||||
Hang Seng Bank Ltd. |
27,900 | 396,608 | ||||||
Henderson Land Development Co. Ltd. |
53,000 | 183,369 | ||||||
Hong Kong & China Gas Co. Ltd. |
408,150 | 359,340 | ||||||
Hong Kong Exchanges & Clearing Ltd. |
43,900 | 1,945,854 | ||||||
Jardine Matheson Holdings Ltd. |
5,800 | 282,125 | ||||||
Link REIT |
92,309 | 593,568 | ||||||
MTR Corp. Ltd. |
56,500 | 272,685 | ||||||
Prudential PLC |
100,296 | 1,373,215 | ||||||
Sun Hung Kai Properties Ltd. |
53,000 | 742,509 | ||||||
Techtronic Industries Co. Ltd. |
50,000 | 541,755 | ||||||
|
|
|||||||
12,088,760 | ||||||||
|
|
|||||||
Ireland - 0.4% |
| |||||||
CRH PLC |
27,253 | 1,376,829 |
Shares |
Value |
|||||||
Kerry Group PLC Class A |
5,810 | $579,404 | ||||||
|
|
|||||||
1,956,233 | ||||||||
|
|
|||||||
Israel - 0.2% |
| |||||||
Check Point Software Technologies Ltd. * |
3,660 | 475,800 | ||||||
ICL Group Ltd. |
25,864 | 175,243 | ||||||
Nice Ltd. * |
2,318 | 528,037 | ||||||
|
|
|||||||
1,179,080 | ||||||||
|
|
|||||||
Italy - 1.6% |
| |||||||
Assicurazioni Generali SpA |
40,522 | 807,385 | ||||||
Enel SpA |
296,709 | 1,809,612 | ||||||
Eni SpA |
91,203 | 1,271,950 | ||||||
Ferrari NV |
4,598 | 1,245,983 | ||||||
Intesa Sanpaolo SpA |
588,815 | 1,511,159 | ||||||
Snam SpA |
73,564 | 390,039 | ||||||
UniCredit SpA |
70,083 | 1,320,914 | ||||||
|
|
|||||||
8,357,042 | ||||||||
|
|
|||||||
Japan - 17.8% |
| |||||||
Aeon Co. Ltd. |
23,900 | 463,679 | ||||||
Ajinomoto Co., Inc. |
16,700 | 580,957 | ||||||
Asahi Group Holdings Ltd. |
16,600 | 617,819 | ||||||
Astellas Pharma, Inc. |
67,000 | 951,890 | ||||||
Bandai Namco Holdings, Inc. |
21,900 | 472,145 | ||||||
Bridgestone Corp. |
20,800 | 844,952 | ||||||
Canon, Inc. |
36,500 | 812,850 | ||||||
Central Japan Railway Co. |
5,300 | 632,394 | ||||||
Chugai Pharmaceutical Co. Ltd. |
24,500 | 604,969 | ||||||
Dai-ichi Life Holdings, Inc. |
35,700 | 656,290 | ||||||
Daiichi Sankyo Co. Ltd. |
63,900 | 2,330,921 | ||||||
Daikin Industries Ltd. |
9,100 | 1,632,599 | ||||||
Daiwa House Industry Co. Ltd. |
21,900 | 515,992 | ||||||
Denso Corp. |
15,800 | 891,869 | ||||||
East Japan Railway Co. |
11,000 | 608,757 | ||||||
Eisai Co. Ltd. |
9,200 | 522,556 | ||||||
FANUC Corp. |
35,000 | 1,263,927 | ||||||
Fast Retailing Co. Ltd. |
6,400 | 1,401,040 | ||||||
FUJIFILM Holdings Corp. |
13,100 | 664,995 | ||||||
Fujitsu Ltd. |
7,200 | 972,938 | ||||||
Hitachi Ltd. |
35,300 | 1,940,112 | ||||||
Honda Motor Co. Ltd. |
59,500 | 1,573,844 | ||||||
Hoya Corp. |
13,000 | 1,436,659 | ||||||
ITOCHU Corp. |
43,400 | 1,413,384 | ||||||
Japan Post Bank Co. Ltd. |
53,800 | 439,409 | ||||||
Japan Post Holdings Co. Ltd. |
86,700 | 703,655 | ||||||
Japan Tobacco, Inc. |
43,800 | 925,211 | ||||||
Kao Corp. |
17,000 | 661,730 | ||||||
KDDI Corp. |
58,800 | 1,813,259 | ||||||
Keyence Corp. |
7,100 | 3,479,769 | ||||||
Kirin Holdings Co. Ltd. |
30,000 | 474,623 | ||||||
Komatsu Ltd. |
33,700 | 836,607 | ||||||
Kubota Corp. |
36,900 | 559,453 | ||||||
Kyocera Corp. |
11,700 | 610,341 | ||||||
M3, Inc. |
16,100 | 405,222 | ||||||
Marubeni Corp. |
56,400 | 767,024 | ||||||
Mitsubishi Corp. |
45,700 | 1,642,296 | ||||||
Mitsubishi Electric Corp. |
70,500 | 842,484 | ||||||
Mitsubishi Estate Co. Ltd. |
41,100 | 488,871 | ||||||
Mitsubishi UFJ Financial Group, Inc. |
436,100 | 2,794,820 | ||||||
Mitsui & Co. Ltd. |
52,300 | 1,630,183 | ||||||
Mitsui Fudosan Co. Ltd. |
33,100 | 621,765 | ||||||
Mizuho Financial Group, Inc. |
88,000 | 1,246,746 | ||||||
MS&AD Insurance Group Holdings, Inc. |
15,600 | 483,457 | ||||||
Murata Manufacturing Co. Ltd. |
21,000 | 1,279,850 | ||||||
Nexon Co. Ltd. |
17,400 | 415,491 | ||||||
Nidec Corp. |
16,300 | 848,268 | ||||||
Nintendo Co. Ltd. |
40,300 | 1,565,315 | ||||||
Nippon Paint Holdings Co. Ltd. |
30,300 | 284,914 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
293
PACIFIC SELECT FUND
PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Nippon Telegraph & Telephone Corp. |
43,600 | $1,302,886 | ||||||
Nissan Motor Co. Ltd. |
84,700 | 320,555 | ||||||
Nomura Holdings, Inc. |
106,200 | 409,435 | ||||||
Nomura Research Institute Ltd. |
14,500 | 339,122 | ||||||
NTT Data Corp. |
23,000 | 302,370 | ||||||
Obic Co. Ltd. |
2,500 | 395,984 | ||||||
Olympus Corp. |
44,600 | 783,299 | ||||||
Omron Corp. |
6,800 | 397,983 | ||||||
Oriental Land Co. Ltd. |
36,500 | 1,249,731 | ||||||
ORIX Corp. |
43,600 | 718,877 | ||||||
Otsuka Holdings Co. Ltd. |
14,200 | 450,844 | ||||||
Panasonic Holdings Corp. |
80,600 | 721,137 | ||||||
Recruit Holdings Co. Ltd. |
52,600 | 1,446,975 | ||||||
Renesas Electronics Corp. * |
42,900 | 621,226 | ||||||
Secom Co. Ltd. |
7,700 | 474,533 | ||||||
Sekisui House Ltd. |
22,500 | 458,578 | ||||||
Seven & i Holdings Co. Ltd. |
27,500 | 1,242,288 | ||||||
Shimano, Inc. |
2,700 | 468,141 | ||||||
Shin-Etsu Chemical Co. Ltd. |
67,500 | 2,191,119 | ||||||
Shionogi & Co. Ltd. |
9,700 | 437,523 | ||||||
Shiseido Co. Ltd. |
14,600 | 684,495 | ||||||
SMC Corp. |
2,100 | 1,113,244 | ||||||
SoftBank Corp. |
104,800 | 1,209,790 | ||||||
SoftBank Group Corp. |
44,000 | 1,729,794 | ||||||
Sompo Holdings, Inc. |
11,400 | 451,726 | ||||||
Sony Group Corp. |
46,000 | 4,189,836 | ||||||
Sumitomo Corp. |
41,100 | 728,101 | ||||||
Sumitomo Mitsui Financial Group, Inc. |
47,600 | 1,904,836 | ||||||
Sumitomo Realty & Development Co. Ltd. |
11,300 | 255,170 | ||||||
Suzuki Motor Corp. |
13,400 | 487,993 | ||||||
Sysmex Corp. |
6,100 | 400,352 | ||||||
Takeda Pharmaceutical Co. Ltd. |
54,800 | 1,799,826 | ||||||
Terumo Corp. |
23,600 | 638,269 | ||||||
Tokio Marine Holdings, Inc. |
67,000 | 1,289,411 | ||||||
Tokyo Electron Ltd. |
16,200 | 1,979,090 | ||||||
Toshiba Corp. |
14,200 | 476,830 | ||||||
Toyota Industries Corp. |
5,300 | 295,268 | ||||||
Toyota Motor Corp. |
386,900 | 5,507,676 | ||||||
Toyota Tsusho Corp. |
7,800 | 332,571 | ||||||
Unicharm Corp. |
14,700 | 604,254 | ||||||
Z Holdings Corp. |
97,500 | 276,456 | ||||||
|
|
|||||||
90,715,895 | ||||||||
|
|
|||||||
Luxembourg - 0.1% |
| |||||||
ArcelorMittal SA |
19,214 | 582,113 | ||||||
|
|
|||||||
Macau - 0.2% |
| |||||||
Galaxy Entertainment Group Ltd. * |
80,000 | 535,133 | ||||||
Sands China Ltd. * |
88,400 | 307,101 | ||||||
|
|
|||||||
842,234 | ||||||||
|
|
|||||||
Netherlands - 5.4% |
| |||||||
Adyen NV * ~ |
791 | 1,260,402 | ||||||
Akzo Nobel NV |
6,625 | 518,172 | ||||||
Argenx SE * |
2,018 | 749,395 | ||||||
ASML Holding NV |
14,707 | 10,022,055 | ||||||
Heineken Holding NV |
4,203 | 385,617 | ||||||
Heineken NV |
9,456 | 1,016,054 | ||||||
ING Groep NV |
135,946 | 1,614,404 | ||||||
Koninklijke Ahold Delhaize NV |
38,149 | 1,303,365 | ||||||
Koninklijke DSM NV |
6,376 | 754,563 | ||||||
Koninklijke Philips NV |
32,443 | 595,877 | ||||||
Shell PLC |
257,472 | 7,337,584 | ||||||
Universal Music Group NV |
26,463 | 670,169 | ||||||
Wolters Kluwer NV |
9,394 | 1,185,865 | ||||||
|
|
|||||||
27,413,522 | ||||||||
|
|
Shares |
Value |
|||||||
Norway - 0.4% |
| |||||||
Aker BP ASA |
11,528 | $282,724 | ||||||
DNB Bank ASA |
33,935 | 607,292 | ||||||
Equinor ASA |
34,753 | 987,972 | ||||||
Telenor ASA |
25,526 | 299,297 | ||||||
|
|
|||||||
2,177,285 | ||||||||
|
|
|||||||
Portugal - 0.1% |
| |||||||
EDP - Energias de Portugal SA |
106,845 | 582,189 | ||||||
|
|
|||||||
Singapore - 1.4% |
| |||||||
DBS Group Holdings Ltd. |
66,054 | 1,642,217 | ||||||
Grab Holdings Ltd. Class A * |
47,517 | 143,026 | ||||||
Oversea-Chinese Banking Corp. Ltd. |
123,557 | 1,151,771 | ||||||
Sea Ltd. ADR * |
13,182 | 1,140,902 | ||||||
Singapore Telecommunications Ltd. |
301,200 | 558,085 | ||||||
STMicroelectronics NV |
24,933 | 1,328,522 | ||||||
United Overseas Bank Ltd. |
43,100 | 966,692 | ||||||
|
|
|||||||
6,931,215 | ||||||||
|
|
|||||||
South Africa - 0.3% |
| |||||||
Anglo American PLC |
46,356 | 1,541,870 | ||||||
|
|
|||||||
Spain - 2.5% |
| |||||||
Aena SME SA * ~ |
2,736 | 442,434 | ||||||
Amadeus IT Group SA * |
16,434 | 1,102,451 | ||||||
Banco Bilbao Vizcaya Argentaria SA |
219,982 | 1,572,730 | ||||||
Banco Santander SA |
612,669 | 2,283,098 | ||||||
CaixaBank SA (SIBE) |
161,731 | 631,067 | ||||||
Cellnex Telecom SA ~ |
20,618 | 801,785 | ||||||
EDP Renovaveis SA |
9,225 | 211,307 | ||||||
Endesa SA |
11,587 | 251,667 | ||||||
Ferrovial SA |
17,777 | 523,486 | ||||||
Iberdrola SA |
224,164 | 2,792,590 | ||||||
Industria de Diseno Textil SA |
39,794 | 1,336,887 | ||||||
Naturgy Energy Group SA |
5,306 | 159,729 | ||||||
Telefonica SA |
189,615 | 816,636 | ||||||
|
|
|||||||
12,925,867 | ||||||||
|
|
|||||||
Sweden - 2.5% |
| |||||||
Assa Abloy AB Class B |
36,564 | 875,798 | ||||||
Atlas Copco AB Class A |
97,989 | 1,241,358 | ||||||
Atlas Copco AB Class B |
56,941 | 654,977 | ||||||
Epiroc AB Class A |
24,052 | 477,433 | ||||||
Epiroc AB Class B |
14,213 | 242,338 | ||||||
EQT AB |
12,969 | 264,923 | ||||||
Essity AB Class B |
22,216 | 634,575 | ||||||
Evolution AB ~ |
6,670 | 893,636 | ||||||
H & M Hennes & Mauritz AB Class B |
26,642 | 380,915 | ||||||
Hexagon AB Class B |
71,005 | 817,225 | ||||||
Investor AB Class A |
18,167 | 370,697 | ||||||
Investor AB Class B |
66,488 | 1,324,480 | ||||||
Sandvik AB |
38,896 | 825,598 | ||||||
Skandinaviska Enskilda Banken AB Class A |
58,949 | 650,694 | ||||||
Svenska Handelsbanken AB Class A |
53,209 | 460,836 | ||||||
Swedbank AB Class A |
33,037 | 543,281 | ||||||
Telefonaktiebolaget LM Ericsson Class B |
106,477 | 624,149 | ||||||
Volvo AB Class A |
7,305 | 157,130 | ||||||
Volvo AB Class B |
55,049 | 1,134,375 | ||||||
Volvo Car AB Class B * |
21,811 | 95,416 | ||||||
|
|
|||||||
12,669,834 | ||||||||
|
|
|||||||
Switzerland - 5.4% |
| |||||||
ABB Ltd. |
57,340 | 1,972,582 | ||||||
Alcon, Inc. |
18,229 | 1,294,031 | ||||||
Chocoladefabriken Lindt & Spruengli AG |
41 | 910,738 |
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
294
PACIFIC SELECT FUND
PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Shares |
Value |
|||||||
Cie Financiere Richemont SA Class A |
19,043 | $3,053,660 | ||||||
Credit Suisse Group AG |
131,398 | 117,999 | ||||||
Givaudan SA |
337 | 1,096,863 | ||||||
Kuehne + Nagel International AG |
1,982 | 590,309 | ||||||
Lonza Group AG |
2,717 | 1,635,632 | ||||||
Novartis AG |
78,920 | 7,246,317 | ||||||
Partners Group Holding AG |
828 | 779,746 | ||||||
Schindler Holding AG |
2,342 | 510,410 | ||||||
SGS SA |
232 | 511,734 | ||||||
Sika AG |
5,328 | 1,494,480 | ||||||
Sonova Holding AG |
1,896 | 559,298 | ||||||
Swisscom AG |
945 | 603,072 | ||||||
UBS Group AG (XVTX) |
122,151 | 2,584,812 | ||||||
Zurich Insurance Group AG |
5,489 | 2,630,321 | ||||||
|
|
|||||||
27,592,004 | ||||||||
|
|
|||||||
United Arab Emirates - 0.0% |
| |||||||
NMC Health PLC * |
4,009 | 9 | ||||||
|
|
|||||||
United Kingdom - 9.8% |
| |||||||
Ashtead Group PLC |
16,019 | 983,644 | ||||||
Associated British Foods PLC |
12,980 | 311,492 | ||||||
AstraZeneca PLC |
56,527 | 7,832,057 | ||||||
Aviva PLC |
102,258 | 510,792 | ||||||
BAE Systems PLC |
112,690 | 1,363,112 | ||||||
Barclays PLC |
578,403 | 1,041,070 | ||||||
BP PLC |
662,024 | 4,184,335 | ||||||
British American Tobacco PLC |
77,581 | 2,719,553 | ||||||
BT Group PLC |
253,582 | 456,784 | ||||||
CK Hutchison Holdings Ltd. |
98,000 | 606,291 | ||||||
Coca-Cola Europacific Partners PLC |
7,500 | 443,925 | ||||||
Compass Group PLC |
64,087 | 1,610,605 | ||||||
Diageo PLC |
82,935 | 3,701,358 | ||||||
HSBC Holdings PLC |
728,454 | 4,950,934 | ||||||
Imperial Brands PLC |
32,663 | 751,107 | ||||||
Legal & General Group PLC |
217,894 | 644,444 | ||||||
Lloyds Banking Group PLC |
2,454,353 | 1,443,030 | ||||||
London Stock Exchange Group PLC |
13,789 | 1,339,321 | ||||||
National Grid PLC |
133,528 | 1,806,233 | ||||||
NatWest Group PLC |
193,883 | 632,645 | ||||||
Reckitt Benckiser Group PLC |
26,108 | 1,986,231 | ||||||
RELX PLC |
69,872 | 2,262,937 | ||||||
SSE PLC |
39,431 | 879,857 | ||||||
Standard Chartered PLC |
89,762 | 680,312 | ||||||
Tesco PLC |
270,026 | 885,261 | ||||||
Unilever PLC |
92,477 | 4,792,065 | ||||||
Vodafone Group PLC |
950,757 | 1,048,777 | ||||||
|
|
|||||||
49,868,172 | ||||||||
|
|
|||||||
United States - 7.8% |
| |||||||
Brookfield Renewable Corp. Class A |
4,712 | 164,772 | ||||||
CSL Ltd. |
17,592 | 3,407,050 | ||||||
Experian PLC |
33,606 | 1,106,568 | ||||||
GSK PLC |
148,381 | 2,621,790 | ||||||
Haleon PLC |
185,285 | 736,032 | ||||||
Holcim AG * |
20,223 | 1,304,208 | ||||||
Nestle SA |
100,322 | 12,232,312 | ||||||
Roche Holding AG |
26,603 | 7,615,956 | ||||||
Sanofi |
41,615 | 4,514,342 | ||||||
Schneider Electric SE |
19,792 | 3,307,714 | ||||||
Stellantis NV |
82,057 | 1,492,311 | ||||||
Swiss Re AG |
11,003 | 1,130,376 | ||||||
|
|
|||||||
39,633,431 | ||||||||
|
|
|||||||
Total Common Stocks |
499,135,615 | |||||||
|
|
Principal |
Value |
|||||||
SHORT-TERM INVESTMENTS - 0.4% |
| |||||||
Repurchase Agreement - 0.3% |
| |||||||
Fixed Income Clearing Corp. |
$1,296,050 | $1,296,050 | ||||||
|
|
|||||||
U.S. Treasury Bills - 0.1% |
| |||||||
4.664% due 06/29/23 |
300,000 | 296,647 | ||||||
|
|
|||||||
Total Short-Term Investments |
1,592,697 | |||||||
|
|
|||||||
TOTAL INVESTMENTS - 98.9% |
503,610,577 | |||||||
|
|
|||||||
DERIVATIVES - 0.1% |
380,518 | |||||||
|
|
|||||||
OTHER ASSETS & LIABILITIES, NET - 1.0% |
|
5,463,086 | ||||||
|
|
|||||||
NET ASSETS - 100.0% |
$509,454,181 | |||||||
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
295
PACIFIC SELECT FUND
PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO
Schedule of Investments (Continued)
March 31, 2023 (Unaudited)
Notes to Schedule of Investments
(a) | Open futures contracts outstanding as of March 31, 2023 were as follows: |
Long Futures Outstanding | Expiration Month |
Number of Contracts |
Notional Amount |
Value | Unrealized Appreciation (Depreciation) |
|||||||||||||||
MSCI EAFE Index |
06/23 | 63 | $6,241,468 | $6,603,975 | $362,507 | |||||||||||||||
S&P/TSX 60 Index |
06/23 | 4 | 697,756 | 715,767 | 18,011 | |||||||||||||||
|
|
|||||||||||||||||||
Total Futures Contracts |
$380,518 | |||||||||||||||||||
|
|
(b) | Fair Value Measurements |
The following is a summary of the Funds investments as categorized under the three-tier hierarchy of inputs used in valuing the Funds assets and liabilities as of March 31, 2023:
Total Value at March 31, 2023 |
Level 1 Quoted Price |
Level 2 Significant Observable Inputs |
Level 3 Significant Unobservable Inputs |
|||||||||||||||
Assets |
Preferred Stocks |
$2,882,265 | $- | $2,882,265 | $- | |||||||||||||
Common Stocks |
||||||||||||||||||
Australia |
33,616,963 | - | 33,616,963 | - | ||||||||||||||
Austria |
216,065 | - | 216,065 | - | ||||||||||||||
Belgium |
3,461,052 | - | 3,461,052 | - | ||||||||||||||
Brazil |
794,083 | 794,083 | - | - | ||||||||||||||
Canada |
52,532,316 | 52,271,593 | 260,723 | - | ||||||||||||||
China |
3,123,104 | - | 3,123,104 | - | ||||||||||||||
Denmark |
15,141,090 | - | 15,141,090 | - | ||||||||||||||
Finland |
4,743,508 | - | 4,743,508 | - | ||||||||||||||
France |
50,296,955 | - | 50,296,955 | - | ||||||||||||||
Germany |
38,153,724 | - | 38,153,724 | - | ||||||||||||||
Hong Kong |
12,088,760 | - | 12,088,760 | - | ||||||||||||||
Ireland |
1,956,233 | - | 1,956,233 | - | ||||||||||||||
Israel |
1,179,080 | 475,800 | 703,280 | - | ||||||||||||||
Italy |
8,357,042 | - | 8,357,042 | - | ||||||||||||||
Japan |
90,715,895 | - | 90,715,895 | - | ||||||||||||||
Luxembourg |
582,113 | - | 582,113 | - | ||||||||||||||
Macau |
842,234 | - | 842,234 | - | ||||||||||||||
Netherlands |
27,413,522 | - | 27,413,522 | - | ||||||||||||||
Norway |
2,177,285 | - | 2,177,285 | - | ||||||||||||||
Portugal |
582,189 | - | 582,189 | - | ||||||||||||||
Singapore |
6,931,215 | 1,283,928 | 5,647,287 | - | ||||||||||||||
South Africa |
1,541,870 | - | 1,541,870 | - | ||||||||||||||
Spain |
12,925,867 | - | 12,925,867 | - | ||||||||||||||
Sweden |
12,669,834 | - | 12,669,834 | - | ||||||||||||||
Switzerland |
27,592,004 | - | 27,592,004 | - | ||||||||||||||
United Arab Emirates |
9 | - | 9 | - | ||||||||||||||
United Kingdom |
49,868,172 | 443,925 | 49,424,247 | - | ||||||||||||||
United States |
39,633,431 | 164,772 | 39,468,659 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total Common Stocks |
499,135,615 | 55,434,101 | 443,701,514 | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Short-Term Investments |
1,592,697 | - | 1,592,697 | - | ||||||||||||||
Derivatives: |
||||||||||||||||||
Equity Contracts |
||||||||||||||||||
Futures |
380,518 | 380,518 | - | - | ||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||
Total |
$503,991,095 | $55,814,619 | $448,176,476 | $- | ||||||||||||||
|
|
|
|
|
|
|
|
See Supplemental Notes to Schedules of Investments | See explanation of symbols and terms, if any on page 297 |
296
PACIFIC SELECT FUND
Schedule of Investments (Continued)
Explanation of Symbols and Terms
March 31, 2023 (Unaudited)
Explanation of Symbols: | ||
* | Non-income producing investments. | |
^ | Investments with their principal amount adjusted for inflation. | |
§ | Variable rate investments. The rate shown is based on the latest available information as of March 31, 2023. Interest rates for certain securities are subject to interest rate caps and floors, which would result in a period end rate being more, less, or equal to the referenced rate plus spread. Certain variable rate securities are not based on a published reference rate and spread but 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. | |
Y | Issuer filed bankruptcy and/or is in default as of March 31, 2023. If the maturity date has expired, no date will be shown. | |
µ | All or a portion of this senior loan position has not settled. Rates do not take effect until settlement date. Rates shown, if any, are for the settled portion. | |
# | Securities purchased on a when-issued basis. Rates do not take effect until settlement date. | |
~ | Securities are not registered under the Securities Act of 1933 (1933 Act). These securities are either (1) exempt from registration pursuant to Rule 144A of the 1933 Act and may only be sold to qualified institutional buyers, or (2) the securities comply with Regulation S rules governing offers and sales made outside the United States without registration under the 1933 Act and contain certain restrictions as to public resale. | |
| Investments were fully or partially segregated with the broker(s)/custodian as collateral for delayed delivery securities, futures contracts, forward foreign currency contracts, option contracts and/or swap agreements as of March 31, 2023. | |
W | The values of these investments were determined by a valuation committee established under the Valuation Policy. The Board of Trustees (Board) has designated Pacific Life Fund Advisors LLC (PLFA) as its valuation designee for fair valuation determinations, and PLFAs Valuation Oversight Committee values the Funds investments in accordance with the Valuation Policy. Each determination was made in good faith in accordance with the procedures established by the Board and the provisions of the Investment Company Act of 1940. | |
>> | Stapled security. A security contractually bound to one or more other securities to form a single saleable unit which cannot be sold separately. | |
± | Investments categorized as a significant unobservable input (Level 3). | |
f | All or a portion of this senior loan is unfunded as of March 31, 2023. The interest rate for fully unfunded terms loans is to be determined. | |
à | Restricted Securities. These securities are not registered and may not be sold to the public. There are legal and/or contractual restrictions on resale. The Trust does not have the right to demand that such securities be registered. The values of these securities are determined by valuations provided by pricing services, brokers, dealers, market makers, or in good faith under the procedures established by the Board. | |
Counterparty and Exchange Abbreviations: | ||
ANZ | Australia and New Zealand Banking Group | |
BNP | BNP Paribas | |
BOA | Bank of America | |
BRC | Barclays | |
CBA | Commonwealth Bank of Australia | |
CBOE | Chicago Board of Options Exchange | |
CIT | Citigroup | |
CME | Chicago Mercantile Exchange | |
DUB | Deutsche Bank | |
GSC | Goldman Sachs | |
HSB | HSBC | |
ICE | Intercontinental Exchange Inc | |
JPM | JPMorgan Chase | |
LCH | London Clearing House | |
MSC | Morgan Stanley | |
NWM | Natwest Markets Plc | |
OCC | Options Clearing Corp | |
SCB | Standard Chartered Bank | |
TDB | Toronto Dominion Bank | |
UBS | UBS |
Currency Abbreviations: | ||
ARS | Argentine Peso | |
AUD | Australian Dollar | |
BRL | Brazilian Real | |
CAD | Canadian Dollar | |
CHF | Swiss Franc | |
CLP | Chilean Peso | |
CNH | Renminbi Offshore (Hong Kong) | |
COP | Colombian Peso | |
CZK | Czech Koruna | |
DKK | Danish Krone | |
EUR | Euro | |
GBP | British Pound | |
HUF | Hungarian Forint | |
IDR | Indonesian Rupiah | |
ILS | Israeli Shekel | |
INR | Indian Rupee | |
JPY | Japanese Yen | |
KRW | Korean Won | |
MXN | Mexican Peso | |
NOK | Norwegian Krone | |
NZD | New Zealand Dollar | |
PEN | Peruvian Nuevo Sol | |
PLN | Polish Zloty | |
RON | Romanian Leu | |
RUB | Russian Ruble | |
THB | Thai Baht | |
TWD | Taiwan Dollar | |
USD | United States Dollar | |
ZAR | South African Rand | |
Reference Rate Abbreviations: | ||
LIBOR | London Interbank Offered Rate | |
SOFR | Secured Overnight Financing Rate | |
SONIA | Sterling Overnight Index Average | |
US FED | United States Federal Reserve Bank Rate | |
UST | United State Treasury Rate | |
Payment Frequency Abbreviations: | ||
A | Annual | |
L | Lunar | |
Q | Quarterly | |
S | Semiannual | |
Z | At Maturity | |
Other Abbreviations: | ||
ADR | American Depositary Receipt | |
GDR | Global Depositary Receipt | |
IO | Interest Only | |
NVDR | Non-Voting Depositary Receipt | |
NY | New York Shares | |
PIK | Payment In Kind | |
PO | Principal Only | |
REIT | Real Estate Investment Trust | |
SPAC | Special Purpose Acquisition Company |
Notes:
For debt investments, the interest rates disclosed in the Schedules of Investments reflect the stated coupon rate or for discounted investments or zero coupon bonds, the yield-to-maturity.
The sectors and countries (based on country of risk) listed in the Schedules of Investments are obtained from a third-party source that is not affiliated with the Trust or the investment adviser, and are believed to be reliable. Sector names, country names and weightings could be different if obtained from another source.
See Supplemental Notes to Schedules of Investments |
297
PACIFIC SELECT FUND
SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS
March 31, 2023 (Unaudited)
1. ORGANIZATION
Pacific Select Fund (the Trust) is registered under the Investment Company Act of 1940 (1940 Act), as amended, as a diversified, open-end, investment management company. The Trust was organized on May 4, 1987 as a Massachusetts business trust (the Massachusetts Trust), and was reorganized as a Delaware statutory trust on June 30, 2016. In connection with other actions taken to accomplish the reorganization, the Massachusetts Trust, as sole initial shareholder of each Fund of the Trust, approved all material agreements of the Trust, including the investment advisory and sub-advisory agreements. These agreements were also approved by the initial Trustees of the Trust, who served as the Trustees of the Massachusetts Trust prior to the reorganization.
Pacific Life Fund Advisors LLC (PLFA or the Investment Adviser) serves as investment adviser to the Trust. The Trust is comprised of separate funds (each individually a Fund, and collectively the Funds).
2. FAIR VALUE MEASUREMENTS AND DISCLOSURES
The Trust characterizes its investments as Level 1, Level 2, or Level 3 based upon the various inputs or methodologies used to value the investments. Under the Valuation Policy, the VOC determines the level in which each investment is characterized. The VOC includes investment, legal, and compliance members of the Trusts Investment Adviser, accounting members of Pacific Life Insurance Company, and the Trusts Chief Compliance Officer (CCO). The three-tier hierarchy of inputs is summarized in the three broad levels listed below:
● Level 1 | Quoted prices (unadjusted) in active markets for identical investments |
● Level 2 | Significant observable market-based inputs, other than Level 1 quoted prices, or unobservable inputs that are corroborated by market data |
● Level 3 | Significant unobservable inputs that are not corroborated by observable market data |
The VOC reviews the Valuation Policy periodically (at least annually) to determine the appropriateness of the pricing methodologies used to value each Funds investments. The VOC also periodically evaluates how the Trusts investments are characterized within the three-tier hierarchy and the appropriateness of third party pricing sources. The VOC also periodically (at least annually) conducts back-testing of the value of various Level 2 and Level 3 investments to evaluate the effectiveness of the pricing methodologies including the unobservable inputs used to value those investments. Such back-testing includes comparing Level 2 and Level 3 investment values to subsequently available exchange-traded prices, transaction prices, and/or observable vendor prices. All changes to the Valuation Policy are reported to the Board on a quarterly basis with material changes, as determined by the Trusts CCO, requiring approval by the Board.
The inputs or methodologies used for characterizing each Funds investments within the three-tier hierarchy are not necessarily an indication of the relative risks associated with investing in those investments. Foreign equity investments that are valued with the assistance of a statistical research service approved by the Board and based on significant observable inputs are reflected as Level 2. Changes in valuation techniques may result in transfers into or out of an assigned level within the hierarchy.
The following is a description of valuation inputs and techniques that the Trust currently utilizes to fair value each major category of assets and liabilities:
Equity Securities (Common and Preferred Stock) and Mutual Funds
Equity securities (foreign or domestic) that are actively traded on a securities exchange are fair valued based on quoted prices from the applicable exchange, and to the extent valuation adjustments are not applied to these securities, they are categorized as Level 1. Equity securities traded on inactive markets and certain foreign equity securities are fair valued using significant other observable inputs which include broker-dealer quotes, recently executed transactions adjusted for changes in the benchmark index, or evaluated price quotes received from pricing vendors that take into account the integrity of the market sector and issuer, the individual characteristics of the security, and information received from broker-dealers and other market sources pertaining to the issuer or security. To the extent that these inputs are observable and timely, the fair values of these securities would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Investments in registered mutual funds, including affiliated registered mutual funds, are valued at their respective published NAV and are categorized as Level 1.
U.S. Treasury Obligations
U.S. Treasuries are fair valued based on pricing models that evaluate the mean between the most recently published bid and ask price from market data sources. The models also take into consideration yield curves and data received from active market makers and inter-dealer brokers. Yield curves change daily in response to market conditions and are generally obtained from the new issue market and broker-dealer sources. To the extent that these inputs are observable and timely, the fair values of U.S. Treasury obligations would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Mortgage-Backed and Asset-Backed Securities
Mortgage-backed securities, including government sponsored enterprises, are fair valued using pricing models based on inputs that include issuer type, coupon, and cash flows, mortgage prepayment projection tables and adjustable rate mortgage evaluations that incorporate index data, periodic and life caps, the next coupon reset date, and the convertibility of the bond. To the extent that these inputs are observable and timely, the fair values of mortgage-backed securities would be categorized as Level 2; otherwise the fair value would be categorized as Level 3.
Asset-backed securities and collateralized mortgage obligations are fair valued using pricing models based on a securitys average life volatility. The models also take into account tranche characteristics such as coupon average life, collateral types, ratings, the issuer and tranche type, underlying collateral and performance of the collateral, and discount margin for certain floating rate issues. To the extent that these inputs are observable and timely, the fair values of asset-backed securities and collateralized mortgage obligations would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
298
PACIFIC SELECT FUND
SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS (Continued)
March 31, 2023 (Unaudited)
Municipal Bonds
Municipal bonds are fair valued based on pricing models that take into account, among other factors, information received from market makers and broker-dealers, current trades, bid lists, offerings, market movements, the callability of the bond, state of issuance, benchmark yield curves, and bond insurance. To the extent that these inputs are observable and timely, the fair values of municipal bonds would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Foreign Government Bonds and Notes
Foreign government bonds and notes are fair valued based on discounted cash flow models that incorporate option adjusted spreads along with benchmark curves and credit spreads. In addition, international bond markets are monitored daily for information pertaining to the issuer and/or the specific issue. To the extent that these inputs are observable and timely, the fair values of foreign government bonds and notes would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Corporate Bonds and Notes and U.S. Government Agency Issues
Corporate bonds held by a Fund are generally comprised of two main categories: investment grade bonds and high yield bonds. Investment grade bonds are reported at fair value using various inputs and techniques, which include broker-dealer quotations, live trading levels, recently executed transactions in securities of the issuer or comparable issuers, issuer credit information, and option-adjusted spread models where applicable. Fair values for high yield bonds are based primarily on broker-dealer quotations from relevant market makers and recently executed transactions in securities of the issuer or comparable issuers. The broker-dealer quotations received are supported by credit analysis of the issuer that takes into consideration credit quality assessments, daily trading activity, and the activity of the underlying equities, listed bonds, and sector-specific trends. To the extent that these inputs are observable and timely, the fair values of corporate bonds would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
U.S. Government Agency Issues are reported at fair value using various inputs and techniques, which include broker-dealer quotations, live trading levels, recently executed transactions in securities of the issuer, issuer credit information, and option-adjusted spread models where applicable. To the extent that these inputs are observable and timely, the fair values of U.S. Government Agency Issues would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Futures Contracts
Futures contracts and options on futures contracts that are actively traded on commodity exchanges are fair valued based on quoted prices from the applicable exchange, and to the extent valuation adjustments are not applied to futures contracts, they are categorized as Level 1. To the extent that valuation adjustments are observable and timely, the fair values of futures contracts would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Option Contracts
Exchange listed option contracts that are traded on securities exchanges are categorized as Level 2 if they are fair valued based on quoted prices from the applicable exchange, or when valuation adjustments are applied to option contracts, or such valuation adjustments are observable and timely, otherwise the fair values would be categorized as Level 3. OTC option contracts are fair valued based on either broker-dealer quotations or pricing models that incorporate various inputs such as interest rates, credit spreads, currency exchange rates and volatility measurements for in-the-money, at-the-money, and out-of-the-money contracts based on a given strike price. To the extent that these inputs are observable and timely, the fair values of OTC option contracts would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Forward Foreign Currency Contracts
Forward foreign currency contracts are fair valued using the mean between broker-dealer bid and ask quotations, and forward foreign currency exchange rates gathered from leading market makers. To the extent that these inputs are observable and timely, the fair values of forward foreign currency contracts would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Forward Bond Contracts
Forward bond contracts are generally valued based on the current price of the underlying bond, as provided by a third-party pricing service, and current interest rates. To the extent that these inputs are observable and timely, the fair values of forward bonds would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Swap Agreements
Interest Rate Swaps Interest rate swaps are fair valued using pricing models that are based on real-time snap shots of relevant interest rate curves that are built using the most actively traded securities for a given maturity. The pricing models also incorporate cash and money market rates. In addition, market data pertaining to interest rate swaps are monitored regularly to ensure that interest rates are properly depicting the current market rate. To the extent that these inputs are observable and timely, the fair values of interest rate swaps would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Credit Default Swaps Credit default swaps are fair valued using pricing models that take into account, among other factors, information received from market makers and broker-dealers, default probabilities from index specific credit spread curves, recovery rates, and cash flows. To the extent that these inputs are observable and timely, the fair values of credit default swaps would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Total Return Swaps Total return swaps are fair valued using pricing models that take into account among other factors, index spread curves, nominal values, modified duration values and cash flows. To the extent that these inputs are observable and timely, the fair values of total return swaps would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
299
PACIFIC SELECT FUND
SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS (Continued)
March 31, 2023 (Unaudited)
Senior Loan Notes
Floating rate senior loan notes (Senior Loans) are fair valued based on a quoted price received from a single broker-dealer or an average of quoted prices received from multiple broker-dealers or valued relative to other benchmark securities when broker-dealer quotes are unavailable. To the extent that these inputs are observable, the fair values of Senior Loans would be categorized as Level 2; otherwise the fair values would be categorized as Level 3.
Unfunded loan commitments on senior loan participations and assignments, if any, are marked to market daily and valued according to the Trusts valuation policies and procedures.
The total unfunded loan commitments that could be extended at the option of the borrowers for the period ended March 31, 2023 are summarized in the following table:
Portfolio | Unfunded Loan Commitments |
Value | Net Unrealized Appreciation (Depreciation) |
|||||||||
Diversified Bond |
$155,868 | $145,347 | ($10,521 | ) | ||||||||
Floating Rate Income |
99,065 | 101,794 | 2,729 |
3. INVESTMENTS IN AFFILIATED FUNDS
A summary of holdings and transactions with affiliated mutual fund investments as of and for the period ended March 31, 2023 is as follows:
|
Beginning Value as of January 1, 2023 |
Purchase Cost |
Sales Proceeds |
Net Realized |
Change in Unrealized Appreciation (Depreciation) |
As of March 31, 2023 | ||||||||||||||||||||||
Ending Value |
Share Balance |
|||||||||||||||||||||||||||
ESG Diversified |
||||||||||||||||||||||||||||
Pacific Funds ESG Core Bond Class I |
$2,482,737 | $567,292 | $6,141 | ($951 | ) | $64,291 | $3,107,228 | 361,726 | ||||||||||||||||||||
ESG Diversified Growth |
||||||||||||||||||||||||||||
Pacific Funds ESG Core Bond Class I |
$598,676 | $308,359 | $2,301 | ($361 | ) | $16,300 | $920,673 | 107,180 | ||||||||||||||||||||
Pacific Dynamix Conservative Growth |
||||||||||||||||||||||||||||
PD 1-3 Year Corporate Bond Class P |
$28,620,678 | $22,803,135 | $540,270 | $33,050 | $327,018 | $51,243,611 | 4,617,481 | |||||||||||||||||||||
PD Aggregate Bond Index Class P |
215,186,313 | 13,033,684 | 4,631,403 | 466,320 | 6,178,739 | 230,233,653 | 18,458,474 | |||||||||||||||||||||
PD High Yield Bond Market Class P |
57,074,225 | 8,087 | 27,323,723 | 2,805,183 | (1,299,081 | ) | 31,264,691 | 1,780,614 | ||||||||||||||||||||
PD Large-Cap Growth Index Class P |
58,194,749 | 143,802 | 10,317,803 | 3,931,201 | 3,932,732 | 55,884,681 | 840,392 | |||||||||||||||||||||
PD Large-Cap Value Index Class P |
62,692,209 | 5,261,391 | 2,365,492 | 718,846 | 176,477 | 66,483,431 | 1,645,789 | |||||||||||||||||||||
PD Mid-Cap Index Class P |
33,677,806 | 74,309 | 5,551,261 | 736,778 | 475,397 | 29,413,029 | 2,490,086 | |||||||||||||||||||||
PD Small-Cap Growth Index Class P |
2,552,649 | 2,703,505 | 232,774 | (65,119 | ) | 356,948 | 5,315,209 | 144,322 | ||||||||||||||||||||
PD Small-Cap Value Index Class P |
10,265,059 | 37,769 | 4,841,344 | (882,055 | ) | 697,455 | 5,276,884 | 171,123 | ||||||||||||||||||||
PD Emerging Markets Index Class P |
5,255,478 | 5,360,256 | 565,755 | (169,520 | ) | 646,197 | 10,526,656 | 622,456 | ||||||||||||||||||||
PD International Large-Cap Index Class P |
44,999,269 | 76,165 | 13,596,351 | 2,385,659 | 667,670 | 34,532,412 | 1,472,252 | |||||||||||||||||||||
Total |
$518,518,435 | $49,502,103 | $69,966,176 | $9,960,343 | $12,159,552 | $520,174,257 | ||||||||||||||||||||||
Pacific Dynamix Moderate Growth |
||||||||||||||||||||||||||||
PD 1-3 Year Corporate Bond Class P |
$96,486,802 | $130,150,388 | $545,472 | $48,775 | $1,269,378 | $227,409,871 | 20,491,544 | |||||||||||||||||||||
PD Aggregate Bond Index Class P |
622,379,275 | 55,895,253 | 4,132,819 | 430,589 | 18,871,899 | 693,444,197 | 55,595,355 | |||||||||||||||||||||
PD High Yield Bond Market Class P |
192,986,161 | 135,926 | 88,583,148 | 7,737,446 | (2,599,969 | ) | 109,676,416 | 6,246,386 | ||||||||||||||||||||
PD Large-Cap Growth Index Class P |
418,768,631 | 1,198,251 | 41,206,578 | 25,088,886 | 33,021,713 | 436,870,903 | 6,569,651 | |||||||||||||||||||||
PD Large-Cap Value Index Class P |
438,649,925 | 39,446,566 | 8,853,107 | 3,931,190 | 2,511,234 | 475,685,808 | 11,775,541 | |||||||||||||||||||||
PD Mid-Cap Index Class P |
204,015,410 | - | 58,589,496 | 6,797,298 | (1,236,572 | ) | 150,986,640 | 12,782,419 | ||||||||||||||||||||
PD Small-Cap Growth Index Class P |
23,305,037 | 13,000,219 | 856,365 | (256,199 | ) | 2,327,867 | 37,520,559 | 1,018,779 | ||||||||||||||||||||
PD Small-Cap Value Index Class P |
58,875,325 | 3,683 | 20,729,857 | (3,882,486 | ) | 2,898,256 | 37,164,921 | 1,205,210 | ||||||||||||||||||||
PD Emerging Markets Index Class P |
36,518,054 | 24,480,498 | 1,866,275 | (43,085 | ) | 2,726,812 | 61,816,004 | 3,655,267 | ||||||||||||||||||||
PD International Large-Cap Index Class P |
297,200,664 | - | 91,588,337 | 26,306,236 | (6,418,137 | ) | 225,500,426 | 9,613,969 | ||||||||||||||||||||
Total |
$2,389,185,284 | $264,310,784 | $316,951,454 | $66,158,650 | $53,372,481 | $2,456,075,745 | ||||||||||||||||||||||
Pacific Dynamix Growth |
||||||||||||||||||||||||||||
PD 1-3 Year Corporate Bond Class P |
$43,521,954 | $122,394,413 | $56,776 | $1,857 | $709,447 | $166,570,895 | 15,009,440 | |||||||||||||||||||||
PD Aggregate Bond Index Class P |
188,906,216 | 59,250,978 | 185,280 | 5,100 | 5,885,618 | 253,862,632 | 20,352,875 | |||||||||||||||||||||
PD High Yield Bond Market Class P |
112,220,115 | 701,116 | 62,125,716 | 8,075,565 | (5,327,555 | ) | 53,543,525 | 3,049,457 | ||||||||||||||||||||
PD Large-Cap Growth Index Class P |
362,031,425 | 3,447,316 | 74,798,304 | 42,844,959 | 5,680,203 | 339,205,599 | 5,100,963 | |||||||||||||||||||||
PD Large-Cap Value Index Class P |
376,623,299 | 57,924,654 | 1,177,093 | 490,330 | 6,062,015 | 439,923,205 | 10,890,242 | |||||||||||||||||||||
PD Mid-Cap Index Class P |
171,705,138 | 236,254 | 29,751,253 | 3,220,380 | 2,059,125 | 147,469,644 | 12,484,673 | |||||||||||||||||||||
PD Small-Cap Growth Index Class P |
42,159,967 | 1,402,912 | 356,839 | (111,562 | ) | 2,712,658 | 45,807,136 | 1,243,781 | ||||||||||||||||||||
PD Small-Cap Value Index Class P |
67,891,711 | 284,597 | 21,460,738 | (2,780,491 | ) | 1,521,011 | 45,456,090 | 1,474,082 | ||||||||||||||||||||
PD Emerging Markets Index Class P |
61,742,048 | 9,155,764 | 1,058,427 | 34,461 | 2,971,871 | 72,845,717 | 4,307,469 | |||||||||||||||||||||
PD International Large-Cap Index Class P |
297,637,001 | - | 69,139,132 | 19,438,782 | 1,384,372 | 249,321,023 | 10,629,534 | |||||||||||||||||||||
Total |
$1,724,438,874 | $254,798,004 | $260,109,558 | $71,219,381 | $23,658,765 | $1,814,005,466 | ||||||||||||||||||||||
Portfolio Optimization Conservative |
||||||||||||||||||||||||||||
Core Income Class P |
$46,158,428 | $52,431,384 | $1,828,680 | $114,251 | $2,022,472 | $98,897,855 | 8,450,199 | |||||||||||||||||||||
Diversified Bond Class P |
205,012,875 | 935,574 | 45,140,270 | 1,955,063 | 4,096,331 | 166,859,573 | 12,249,352 | |||||||||||||||||||||
Floating Rate Income Class P |
52,792,915 | 38,115 | 37,110,153 | 1,091,814 | 570,785 | 17,383,476 | 1,208,982 | |||||||||||||||||||||
High Yield Bond Class P |
81,898,298 | 284,635 | 31,994,013 | 6,155,576 | (3,853,466 | ) | 52,491,030 | 5,189,013 | ||||||||||||||||||||
Inflation Managed Class P |
52,729,380 | 14,575 | 13,632,334 | 1,528,014 | (68,270 | ) | 40,571,365 | 2,953,009 | ||||||||||||||||||||
Intermediate Bond Class P |
156,656,884 | 90,986 | 15,856,029 | (1,846,464 | ) | 7,000,742 | 146,046,119 | 16,234,513 | ||||||||||||||||||||
Managed Bond Class P |
205,336,072 | 33,086 | 17,432,235 | 196,658 | 5,931,333 | 194,064,914 | 13,355,792 | |||||||||||||||||||||
Short Duration Bond Class P |
140,763,058 | 136,732 | 5,191,839 | 211,369 | 1,891,596 | 137,810,916 | 12,681,288 | |||||||||||||||||||||
Emerging Markets Debt Class P |
29,448,610 | 197,633 | 1,594,314 | (127,550 | ) | 1,121,423 | 29,045,802 | 2,489,984 | ||||||||||||||||||||
Dividend Growth Class P |
15,141,695 | 1,234,017 | 759,120 | 341,183 | 5,822 | 15,963,597 | 428,799 | |||||||||||||||||||||
Equity Index Class P |
10,285,707 | 440,494 | 815,231 | 376,798 | 405,950 | 10,693,718 | 98,234 | |||||||||||||||||||||
Focused Growth Class P |
13,272,753 | 5,516,748 | 1,688,935 | (245,706 | ) | 2,220,969 | 19,075,829 | 393,703 | ||||||||||||||||||||
Growth Class P |
10,210,757 | 8,306,466 | 983,026 | 349,284 | 1,112,332 | 18,995,813 | 353,444 | |||||||||||||||||||||
Large-Cap Core Class P |
10,234,665 | 6,771,282 | 895,558 | 384,042 | 702,032 | 17,196,463 | 261,321 | |||||||||||||||||||||
Large-Cap Growth Class P |
9,973,586 | 6,512,422 | 1,225,802 | 409,955 | 1,590,266 | 17,260,427 | 812,419 | |||||||||||||||||||||
Large-Cap Value Class P |
16,343,875 | 6,206,775 | 976,805 | 449,208 | (117,819 | ) | 21,905,234 | 614,809 | ||||||||||||||||||||
Mid-Cap Equity Class P |
6,925,454 | 5,222,841 | 654,300 | 279,119 | 150,795 | 11,923,909 | 333,109 | |||||||||||||||||||||
Mid-Cap Growth Class P |
13,612,373 | 4,384,670 | 1,849,333 | 94,825 | 1,637,253 | 17,879,788 | 656,424 | |||||||||||||||||||||
Mid-Cap Value Class P |
13,899,585 | 10,660,919 | 1,572,059 | 788,980 | 34,603 | 23,812,028 | 619,605 | |||||||||||||||||||||
Small-Cap Equity Class P |
8,531,541 | 203,225 | 5,683,096 | (790,637 | ) | 696,289 | 2,957,322 | 84,915 | ||||||||||||||||||||
Small-Cap Value Class P |
8,500,609 | 180,980 | 5,560,442 | (925,887 | ) | 756,690 | 2,951,950 | 94,308 |
300
PACIFIC SELECT FUND
SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS (Continued)
March 31, 2023 (Unaudited)
|
Beginning Value as of January 1, 2023 |
Purchase Cost |
Sales Proceeds |
Net Realized |
Change in Unrealized Appreciation (Depreciation) |
As of March 31, 2023 | ||||||||||||||||||||||
Ending Value |
Share Balance |
|||||||||||||||||||||||||||
Value Class P |
15,260,001 | 9,728,151 | 968,393 | 412,493 | (186,388 | ) | 24,245,864 | 1,098,853 | ||||||||||||||||||||
Value Advantage Class P |
14,476,330 | 7,120,174 | 982,074 | 485,741 | (365,511 | ) | 20,734,660 | 882,854 | ||||||||||||||||||||
Emerging Markets Class P |
5,827,734 | 11,698,955 | 974,714 | (274,314 | ) | 1,315,096 | 17,592,757 | 932,714 | ||||||||||||||||||||
International Growth Class P |
2,916,351 | 16,181,147 | 856,260 | (171,927 | ) | 1,553,737 | 19,623,048 | 2,277,341 | ||||||||||||||||||||
International Large-Cap Class P |
5,259,173 | 3,076,071 | 753,639 | 109,295 | 607,838 | 8,298,738 | 594,873 | |||||||||||||||||||||
International Small-Cap Class P |
5,890,236 | 14,018 | 6,058,237 | (386,919 | ) | 540,902 | - | - | ||||||||||||||||||||
International Value Class P |
9,442,422 | 4,477 | 2,325,096 | 85,244 | 494,060 | 7,701,107 | 453,495 | |||||||||||||||||||||
Total |
$1,166,801,367 | $157,626,552 | $205,361,987 | $11,049,508 | $31,867,862 | $1,161,983,302 | ||||||||||||||||||||||
Portfolio Optimization Moderate-Conservative |
||||||||||||||||||||||||||||
Core Income Class P |
$54,702,177 | $61,482,652 | $1,610,249 | ($37,035 | ) | $2,560,277 | $117,097,822 | 10,005,272 | ||||||||||||||||||||
Diversified Bond Class P |
243,709,531 | 49,847 | 52,270,821 | 3,855,807 | 3,274,440 | 198,618,804 | 14,580,834 | |||||||||||||||||||||
Floating Rate Income Class P |
66,499,438 | - | 52,103,690 | 1,720,009 | 315,763 | 16,431,520 | 1,142,775 | |||||||||||||||||||||
High Yield Bond Class P |
116,218,895 | - | 69,314,294 | 5,946,398 | (3,186,437 | ) | 49,664,562 | 4,909,602 | ||||||||||||||||||||
Inflation Managed Class P |
58,007,614 | 26,978 | 18,444,073 | 2,743,192 | (1,189,614 | ) | 41,144,097 | 2,994,695 | ||||||||||||||||||||
Intermediate Bond Class P |
186,487,254 | 41,461 | 19,298,047 | (2,246,694 | ) | 8,380,345 | 173,364,319 | 19,271,209 | ||||||||||||||||||||
Managed Bond Class P |
244,071,521 | 42,439 | 21,309,954 | 1,307,631 | 5,942,201 | 230,053,838 | 15,832,595 | |||||||||||||||||||||
Short Duration Bond Class P |
82,953,511 | 96,039,896 | 1,386,036 | 52,833 | 1,120,333 | 178,780,537 | 16,451,291 | |||||||||||||||||||||
Emerging Markets Debt Class P |
25,201,269 | 4,578 | 9,414,318 | (72,691 | ) | 776,901 | 16,495,739 | 1,414,115 | ||||||||||||||||||||
Dividend Growth Class P |
40,585,961 | 5,681,446 | 1,071,513 | 478,654 | 549,519 | 46,224,067 | 1,241,628 | |||||||||||||||||||||
Equity Index Class P |
26,906,439 | 5,174,088 | 1,367,737 | 481,285 | 1,777,307 | 32,971,382 | 302,880 | |||||||||||||||||||||
Focused Growth Class P |
36,002,930 | - | 3,355,246 | (493,828 | ) | 5,158,423 | 37,312,279 | 770,082 | ||||||||||||||||||||
Growth Class P |
27,073,826 | 11,097,600 | 1,030,396 | 331,692 | 3,059,803 | 40,532,525 | 754,165 | |||||||||||||||||||||
Large-Cap Core Class P |
26,774,763 | 20,621,242 | 1,456,976 | 622,884 | 2,364,446 | 48,926,359 | 743,496 | |||||||||||||||||||||
Large-Cap Growth Class P |
24,980,975 | 6,780,907 | 769,706 | 267,651 | 4,316,256 | 35,576,083 | 1,674,506 | |||||||||||||||||||||
Large-Cap Value Class P |
41,573,185 | 6,465,986 | 1,314,360 | 600,872 | (176,756 | ) | 47,148,927 | 1,323,317 | ||||||||||||||||||||
Mid-Cap Equity Class P |
13,955,665 | 3,311,399 | 774,179 | 206,247 | 266,107 | 16,965,239 | 473,944 | |||||||||||||||||||||
Mid-Cap Growth Class P |
25,044,000 | - | 2,377,404 | 868,333 | 1,913,198 | 25,448,127 | 934,281 | |||||||||||||||||||||
Mid-Cap Value Class P |
34,796,383 | 1,242,531 | 2,855,043 | 1,131,976 | (446,748 | ) | 33,869,099 | 881,297 | ||||||||||||||||||||
Small-Cap Equity Class P |
10,574,472 | - | 3,849,278 | (529,154 | ) | 525,248 | 6,721,288 | 192,991 | ||||||||||||||||||||
Small-Cap Growth Class P |
2,438,940 | 3,415,813 | 274,832 | 112,657 | 265,852 | 5,958,430 | 200,025 | |||||||||||||||||||||
Small-Cap Index Class P |
11,239,082 | - | 5,480,059 | 2,320,168 | (2,186,733 | ) | 5,892,458 | 201,486 | ||||||||||||||||||||
Small-Cap Value Class P |
8,102,900 | - | 1,377,789 | (174,049 | ) | 154,050 | 6,705,112 | 214,214 | ||||||||||||||||||||
Value Class P |
39,332,915 | 16,701,653 | 1,488,142 | 282,779 | (104,689 | ) | 54,724,516 | 2,480,183 | ||||||||||||||||||||
Value Advantage Class P |
38,033,267 | 8,306,899 | 1,511,763 | 745,223 | (922,787 | ) | 44,650,839 | 1,901,172 | ||||||||||||||||||||
Emerging Markets Class P |
24,874,021 | 8,547,661 | 2,609,823 | 270,164 | 2,377,628 | 33,459,651 | 1,773,929 | |||||||||||||||||||||
International Growth Class P |
24,871,641 | 5,108,238 | 2,251,325 | (456,398 | ) | 3,335,391 | 30,607,547 | 3,552,141 | ||||||||||||||||||||
International Large-Cap Class P |
33,241,459 | - | 12,200,384 | 3,038,696 | (348,710 | ) | 23,731,061 | 1,701,098 | ||||||||||||||||||||
International Small-Cap Class P |
16,787,954 | 3,715 | 17,222,717 | 1,800,090 | (1,369,042 | ) | - | - | ||||||||||||||||||||
International Value Class P |
50,671,417 | - | 14,646,401 | 4,126,025 | (1,199,048 | ) | 38,951,993 | 2,293,767 | ||||||||||||||||||||
Real Estate Class P |
15,465,452 | 1,129,025 | 284,166 | 58,605 | 483,443 | 16,852,359 | 523,358 | |||||||||||||||||||||
Total |
$1,651,178,857 | $261,276,054 | $324,720,721 | $29,360,022 | $37,786,367 | $1,654,880,579 | ||||||||||||||||||||||
Portfolio Optimization Moderate |
||||||||||||||||||||||||||||
Core Income Class P |
$181,668,397 | $141,860,437 | $4,337,707 | $389,675 | $7,556,373 | $327,137,175 | 27,951,813 | |||||||||||||||||||||
Diversified Bond Class P |
808,973,501 | - | 281,477,319 | 804,141 | 21,740,362 | 550,040,685 | 40,379,116 | |||||||||||||||||||||
Floating Rate Income Class P |
250,482,506 | - | 222,549,344 | 5,410,245 | 1,961,112 | 35,304,519 | 2,455,350 | |||||||||||||||||||||
High Yield Bond Class P |
357,046,620 | - | 188,077,525 | 26,962,560 | (18,067,213 | ) | 177,864,442 | 17,582,830 | ||||||||||||||||||||
Inflation Managed Class P |
141,721,348 | - | 4,649,507 | 703,272 | 3,763,897 | 141,539,010 | 10,301,994 | |||||||||||||||||||||
Intermediate Bond Class P |
618,155,170 | - | 156,072,996 | (17,683,841 | ) | 38,052,207 | 482,450,540 | 53,629,290 | ||||||||||||||||||||
Managed Bond Class P |
808,307,970 | - | 190,200,344 | 2,243,226 | 21,342,490 | 641,693,342 | 44,162,143 | |||||||||||||||||||||
Short Duration Bond Class P |
320,501,058 | 376,498,810 | 3,487,550 | 203,747 | 4,346,359 | 698,062,424 | 64,235,337 | |||||||||||||||||||||
Emerging Markets Debt Class P |
72,800,976 | - | 4,280,610 | (323,936 | ) | 2,741,295 | 70,937,725 | 6,081,215 | ||||||||||||||||||||
Dividend Growth Class P |
264,349,903 | 82,993,855 | 4,780,189 | 1,893,161 | 6,633,210 | 351,089,940 | 9,430,656 | |||||||||||||||||||||
Equity Index Class P |
175,555,675 | 76,779,399 | 7,015,427 | 2,446,014 | 14,406,529 | 262,172,190 | 2,408,352 | |||||||||||||||||||||
Focused Growth Class P |
237,941,873 | 17,251,178 | 2,695,365 | (382,834 | ) | 32,703,887 | 284,818,739 | 5,878,325 | ||||||||||||||||||||
Growth Class P |
190,983,577 | 58,879,675 | 3,771,434 | 1,157,237 | 21,888,773 | 269,137,828 | 5,007,688 | |||||||||||||||||||||
Large-Cap Core Class P |
174,589,455 | 178,163,166 | 7,291,266 | 3,327,257 | 18,169,823 | 366,958,435 | 5,576,380 | |||||||||||||||||||||
Large-Cap Growth Class P |
176,406,232 | 24,121,119 | 1,941,029 | 668,696 | 30,542,923 | 229,797,941 | 10,816,201 | |||||||||||||||||||||
Large-Cap Value Class P |
251,567,405 | 45,676,544 | 6,314,381 | 2,871,575 | (48,915 | ) | 293,752,228 | 8,244,669 | ||||||||||||||||||||
Mid-Cap Equity Class P |
81,159,789 | - | 9,362,205 | 2,104,993 | (808,206 | ) | 73,094,371 | 2,041,980 | ||||||||||||||||||||
Mid-Cap Growth Class P |
166,670,951 | - | 72,383,098 | 31,100,106 | (15,806,365 | ) | 109,581,594 | 4,023,088 | ||||||||||||||||||||
Mid-Cap Value Class P |
171,693,280 | - | 27,865,579 | 10,117,679 | (7,981,873 | ) | 145,963,507 | 3,798,068 | ||||||||||||||||||||
Small-Cap Equity Class P |
77,338,337 | - | 33,563,002 | (4,824,418 | ) | 4,490,943 | 43,441,860 | 1,247,361 | ||||||||||||||||||||
Small-Cap Growth Class P |
45,293,004 | 9,555,844 | 3,699,370 | 1,528,965 | 2,295,209 | 54,973,652 | 1,845,466 | |||||||||||||||||||||
Small-Cap Index Class P |
48,363,019 | - | 13,072,183 | 5,345,952 | (4,370,084 | ) | 36,266,704 | 1,240,100 | ||||||||||||||||||||
Small-Cap Value Class P |
76,893,241 | - | 28,986,343 | (4,807,010 | ) | 3,865,119 | 46,965,007 | 1,500,432 | ||||||||||||||||||||
Value Class P |
246,034,188 | 76,956,915 | 7,238,603 | 1,375,692 | (1,627,852 | ) | 315,500,340 | 14,298,867 | ||||||||||||||||||||
Value Advantage Class P |
231,951,000 | 55,595,886 | 7,095,369 | 2,666,690 | (3,619,154 | ) | 279,499,053 | 11,900,689 | ||||||||||||||||||||
Emerging Markets Class P |
107,471,664 | 70,645,587 | 11,027,006 | 1,141,165 | 11,784,958 | 180,016,368 | 9,543,920 | |||||||||||||||||||||
International Growth Class P |
157,635,682 | 87,317,914 | 14,456,160 | (2,943,868 | ) | 24,926,759 | 252,480,327 | 29,301,455 | ||||||||||||||||||||
International Large-Cap Class P |
187,242,780 | - | 50,369,186 | 12,667,868 | 3,704,306 | 153,245,768 | 10,985,018 | |||||||||||||||||||||
International Small-Cap Class P |
72,621,911 | - | 40,053,261 | 10,024,747 | (6,328,633 | ) | 36,264,764 | 2,200,694 | ||||||||||||||||||||
International Value Class P |
272,600,151 | - | 108,039,571 | 32,191,747 | (18,089,790 | ) | 178,662,537 | 10,520,906 | ||||||||||||||||||||
Real Estate Class P |
99,145,547 | - | 28,564,532 | 3,569,043 | (1,627,154 | ) | 72,522,904 | 2,252,232 | ||||||||||||||||||||
Total |
$7,073,166,210 | $1,302,296,329 | $1,544,717,461 | $131,949,546 | $198,541,295 | $7,161,235,919 | ||||||||||||||||||||||
Portfolio Optimization Growth |
||||||||||||||||||||||||||||
Core Income Class P |
$107,736,766 | $98,861,665 | $2,800,847 | $167,319 | $4,659,362 | $208,624,265 | 17,825,631 | |||||||||||||||||||||
Diversified Bond Class P |
477,364,532 | - | 6,290,766 | (45,305 | ) | 14,827,496 | 485,855,957 | 35,667,242 | ||||||||||||||||||||
Floating Rate Income Class P |
98,488,503 | - | 101,237,741 | 6,622,479 | (3,873,241 | ) | - | - | ||||||||||||||||||||
High Yield Bond Class P |
196,947,124 | - | 4,449,969 | 573,546 | 6,179,626 | 199,250,327 | 19,696,936 | |||||||||||||||||||||
Inflation Managed Class P |
128,984,410 | - | 986,519 | (91,407 | ) | 4,209,141 | 132,115,625 | 9,616,108 | ||||||||||||||||||||
Intermediate Bond Class P |
363,474,496 | - | 5,604,370 | (663,459 | ) | 12,746,452 | 369,953,119 | 41,124,056 | ||||||||||||||||||||
Managed Bond Class P |
481,396,739 | - | 7,076,742 | 61,904 | 14,462,786 | 488,844,687 | 33,642,907 | |||||||||||||||||||||
Short Duration Bond Class P |
162,943,893 | - | 1,736,795 | 77,439 | 2,391,977 | 163,676,514 | 15,061,427 | |||||||||||||||||||||
Emerging Markets Debt Class P |
67,242,257 | - | 3,155,507 | 446,033 | 1,798,710 | 66,331,493 | 5,686,341 | |||||||||||||||||||||
Dividend Growth Class P |
339,652,186 | - | 2,795,048 | 955,432 | 5,671,309 | 343,483,879 | 9,226,349 |
301
PACIFIC SELECT FUND
SUPPLEMENTAL NOTES TO SCHEDULES OF INVESTMENTS (Continued)
March 31, 2023 (Unaudited)
|
Beginning Value as of January 1, 2023 |
Purchase Cost |
Sales Proceeds |
Net Realized |
Change in Unrealized Appreciation (Depreciation) |
As of March 31, 2023 | ||||||||||||||||||||||
Ending Value |
Share Balance |
|||||||||||||||||||||||||||
Equity Index Class P |
226,369,333 | - | 5,980,624 | 2,073,018 | 14,764,758 | 237,226,485 | 2,179,197 | |||||||||||||||||||||
Focused Growth Class P |
320,200,482 | - | 2,276,327 | (336,660 | ) | 42,724,697 | 360,312,192 | 7,436,421 | ||||||||||||||||||||
Growth Class P |
255,494,285 | - | 3,124,100 | 945,180 | 26,210,626 | 279,525,991 | 5,200,974 | |||||||||||||||||||||
Large-Cap Core Class P |
224,916,310 | - | 5,353,305 | 2,122,460 | 14,915,442 | 236,600,907 | 3,595,439 | |||||||||||||||||||||
Large-Cap Growth Class P |
237,581,571 | - | 2,166,233 | 742,597 | 39,614,652 | 275,772,587 | 12,980,150 | |||||||||||||||||||||
Large-Cap Value Class P |
309,209,521 | - | 4,269,348 | 1,683,704 | (719,527 | ) | 305,904,350 | 8,585,739 | ||||||||||||||||||||
Mid-Cap Equity Class P |
106,897,029 | - | 1,874,542 | 597,952 | 1,538,175 | 107,158,614 | 2,993,605 | |||||||||||||||||||||
Mid-Cap Growth Class P |
200,854,576 | - | 10,719,741 | 4,874,368 | 17,338,077 | 212,347,280 | 7,795,941 | |||||||||||||||||||||
Mid-Cap Value Class P |
241,307,151 | - | 12,723,209 | 6,206,642 | (2,150,672 | ) | 232,639,912 | 6,053,446 | ||||||||||||||||||||
Small-Cap Equity Class P |
84,509,932 | - | 3,942,898 | 2,351,545 | (1,449,774 | ) | 81,468,805 | 2,339,241 | ||||||||||||||||||||
Small-Cap Growth Class P |
38,564,519 | - | 2,115,746 | 883,857 | 1,879,821 | 39,212,451 | 1,316,362 | |||||||||||||||||||||
Small-Cap Index Class P |
54,073,410 | - | 1,829,062 | 849,101 | 724,755 | 53,818,204 | 1,840,254 | |||||||||||||||||||||
Small-Cap Value Class P |
80,662,268 | - | 3,862,563 | 1,773,057 | (1,840,856 | ) | 76,731,906 | 2,451,420 | ||||||||||||||||||||
Value Class P |
298,253,891 | - | 4,513,491 | 949,977 | (5,760,406 | ) | 288,929,971 | 13,094,665 | ||||||||||||||||||||
Value Advantage Class P |
286,645,908 | - | 4,640,304 | 1,799,949 | (6,268,334 | ) | 277,537,219 | 11,817,157 | ||||||||||||||||||||
Emerging Markets Class P |
165,549,244 | - | 12,644,720 | 3,653,775 | 11,521,367 | 168,079,666 | 8,911,072 | |||||||||||||||||||||
International Growth Class P |
252,514,387 | - | 17,387,960 | (3,576,893 | ) | 29,416,746 | 260,966,280 | 30,286,288 | ||||||||||||||||||||
International Large-Cap Class P |
227,774,185 | - | 18,952,196 | 5,072,506 | 17,544,518 | 231,439,013 | 16,590,094 | |||||||||||||||||||||
International Small-Cap Class P |
100,714,113 | - | 7,481,780 | 1,856,022 | 5,761,026 | 100,849,381 | 6,119,954 | |||||||||||||||||||||
International Value Class P |
261,270,865 | - | 28,552,908 | 11,755,239 | 6,105,513 | 250,578,709 | 14,755,836 | |||||||||||||||||||||
Real Estate Class P |
90,728,642 | - | - | - | 2,818,156 | 93,546,798 | 2,905,139 | |||||||||||||||||||||
Total |
$6,488,322,528 | $98,861,665 | $290,545,361 | $54,381,377 | $277,762,378 | $6,628,782,587 | ||||||||||||||||||||||
Portfolio Optimization Aggressive-Growth |
||||||||||||||||||||||||||||
Core Income Class P |
$12,345,355 | $23,615,509 | $327,200 | $20,235 | $620,073 | $36,273,972 | 3,099,383 | |||||||||||||||||||||
Diversified Bond Class P |
53,685,035 | - | 417,983 | (4,002 | ) | 1,667,800 | 54,930,850 | 4,032,537 | ||||||||||||||||||||
Floating Rate Income Class P |
23,339,977 | - | 23,991,201 | 575,765 | 75,459 | - | - | |||||||||||||||||||||
High Yield Bond Class P |
46,658,820 | - | 743,576 | 93,871 | 1,508,309 | 47,517,424 | 4,697,346 | |||||||||||||||||||||
Inflation Managed Class P |
15,220,759 | - | 67,307 | (6,008 | ) | 492,670 | 15,640,114 | 1,138,374 | ||||||||||||||||||||
Intermediate Bond Class P |
41,351,624 | - | 451,463 | (52,416 | ) | 1,429,131 | 42,276,876 | 4,699,505 | ||||||||||||||||||||
Managed Bond Class P |
53,718,043 | - | 525,299 | 5,273 | 1,618,258 | 54,816,275 | 3,772,525 | |||||||||||||||||||||
Short Duration Bond Class P |
15,426,604 | - | 122,577 | 5,541 | 228,419 | 15,537,987 | 1,429,797 | |||||||||||||||||||||
Emerging Markets Debt Class P |
15,928,504 | - | 589,889 | 81,524 | 449,335 | 15,869,474 | 1,360,428 | |||||||||||||||||||||
Dividend Growth Class P |
90,045,861 | - | 339,524 | 112,478 | 1,641,006 | 91,459,821 | 2,456,710 | |||||||||||||||||||||
Equity Index Class P |
59,910,883 | - | 1,197,460 | 559,495 | 3,890,993 | 63,163,911 | 580,233 | |||||||||||||||||||||
Focused Growth Class P |
85,710,523 | - | 332,785 | (47,798 | ) | 11,404,653 | 96,734,593 | 1,996,489 | ||||||||||||||||||||
Growth Class P |
68,602,731 | - | 648,169 | 195,618 | 7,101,219 | 75,251,399 | 1,400,158 | |||||||||||||||||||||
Large-Cap Core Class P |
59,479,760 | - | 998,120 | 389,376 | 4,111,722 | 62,982,738 | 957,099 | |||||||||||||||||||||
Large-Cap Growth Class P |
63,067,400 | - | 364,777 | 125,522 | 10,595,000 | 73,423,145 | 3,455,903 | |||||||||||||||||||||
Large-Cap Value Class P |
80,684,866 | - | 574,915 | 224,544 | 17,610 | 80,352,105 | 2,255,222 | |||||||||||||||||||||
Mid-Cap Equity Class P |
26,820,194 | - | 98,253 | 51,746 | 469,828 | 27,243,515 | 761,080 | |||||||||||||||||||||
Mid-Cap Growth Class P |
54,482,569 | - | 2,244,843 | 1,012,749 | 4,995,973 | 58,246,448 | 2,138,412 | |||||||||||||||||||||
Mid-Cap Value Class P |
57,413,203 | - | 2,126,111 | 1,035,254 | (115,553 | ) | 56,206,793 | 1,462,538 | ||||||||||||||||||||
Small-Cap Equity Class P |
26,349,270 | - | 845,194 | 366,654 | (114,198 | ) | 25,756,532 | 739,556 | ||||||||||||||||||||
Small-Cap Growth Class P |
29,596,741 | - | 961,177 | 196,309 | 1,905,803 | 30,737,676 | 1,031,864 | |||||||||||||||||||||
Small-Cap Index Class P |
16,638,562 | - | 322,843 | 149,864 | 319,194 | 16,784,777 | 573,937 | |||||||||||||||||||||
Small-Cap Value Class P |
26,914,092 | - | 877,541 | 402,031 | (462,802 | ) | 25,975,780 | 829,871 | ||||||||||||||||||||
Value Class P |
78,095,772 | - | 748,756 | 155,939 | (1,430,782 | ) | 76,072,173 | 3,447,685 | ||||||||||||||||||||
Value Advantage Class P |
74,457,179 | - | 562,934 | 248,226 | (1,443,778 | ) | 72,698,693 | 3,095,411 | ||||||||||||||||||||
Emerging Markets Class P |
70,681,832 | - | 4,602,559 | 1,329,920 | 5,129,367 | 72,538,560 | 3,845,774 | |||||||||||||||||||||
International Growth Class P |
70,239,534 | - | 4,232,194 | (889,354 | ) | 8,084,353 | 73,202,339 | 8,495,454 | ||||||||||||||||||||
International Large-Cap Class P |
66,045,878 | - | 4,812,262 | 1,277,129 | 5,286,782 | 67,797,527 | 4,859,887 | |||||||||||||||||||||
International Small-Cap Class P |
47,804,784 | - | 2,980,035 | 731,021 | 2,883,607 | 48,439,377 | 2,939,500 | |||||||||||||||||||||
International Value Class P |
80,261,729 | - | 7,335,528 | 1,457,248 | 4,012,570 | 78,396,019 | 4,616,509 | |||||||||||||||||||||
Real Estate Class P |
28,568,254 | - | - | - | 887,369 | 29,455,623 | 914,758 | |||||||||||||||||||||
Total |
$1,539,546,338 | $23,615,509 | $64,442,475 | $9,803,754 | $77,259,390 | $1,585,782,516 |
As of March 31, 2023, Pacific Life owned the following percentages of the total shares outstanding (aggregate of all share classes) of each of the following Funds:
Portfolio | Ownership Percentage |
|||
ESG Diversified |
43.06% | |||
ESG Diversified Growth |
87.17% |
302