Shares | | | Value | | Percentage of Net Assets |
COMMON STOCK: 95.9% |
| | Argentina: 0.9% |
54,979 | | Arcos Dorados Holdings, Inc. | $ | 399,147 | | 0.1 |
35,390 | (1) | Cresud SACIF y A ADR | | 206,324 | | 0.1 |
38,398 | (1) | IRSA Inversiones y Representaciones SA ADR | | 158,968 | | 0.0 |
3,655 | (1) | MercadoLibre, Inc. | | 2,974,110 | | 0.7 |
| | | | 3,738,549 | | 0.9 |
| | | | | | |
| | Australia: 0.3% | | | | |
21,879 | | BHP Group Ltd. ADR | | 1,204,220 | | 0.3 |
| | | | | | |
| | Brazil: 6.5% | | | | |
396,179 | | Americanas SA | | 1,072,741 | | 0.2 |
132,959 | | B3 SA - Brasil Bolsa Balcao | | 285,237 | | 0.1 |
620,112 | | Banco Bradesco SA ADR | | 2,058,772 | | 0.5 |
96,358 | (2) | Banco Santander Brasil S.A. ADR | | 528,042 | | 0.1 |
80,754 | | BB Seguridade Participacoes SA | | 449,648 | | 0.1 |
245,410 | (1),(2) | BRF SA ADR | | 743,592 | | 0.2 |
505,700 | (1) | Clear Sale SA | | 421,246 | | 0.1 |
89,043 | | EDP - Energias do Brasil S.A. | | 371,722 | | 0.1 |
50,081 | | Energisa SA - Unit | | 426,271 | | 0.1 |
113,092 | | Equatorial Energia SA | | 542,499 | | 0.1 |
235,000 | | Fleury SA | | 738,051 | | 0.2 |
11,357 | | Getnet Adquirencia e Servicos para Meios de Pagamento SA ADR | | 19,534 | | 0.0 |
238,700 | (1) | Infracommerce CXAAS SA | | 283,722 | | 0.1 |
455,462 | | Itau Unibanco Holding SA ADR | | 2,049,579 | | 0.5 |
124,640 | | JBS SA | | 768,928 | | 0.2 |
1,280,400 | | JSL SA | | 1,259,588 | | 0.3 |
489,400 | (1),(3) | Locaweb Servicos de Internet SA | | 636,567 | | 0.1 |
61,230 | | Marfrig Global Foods SA | | 155,971 | | 0.0 |
615,000 | | Movida Participacoes SA | | 1,509,538 | | 0.3 |
124,406 | | Petroleo Brasileiro SA ADR | | 1,776,518 | | 0.4 |
68,067 | | Petroleo Brasileiro SA | | 487,800 | | 0.1 |
181,300 | (3) | Rede D'Or Sao Luiz SA | | 1,132,139 | | 0.3 |
62,804 | | Rumo SA | | 213,510 | | 0.1 |
107,644 | | Sendas Distribuidora SA | | 330,374 | | 0.1 |
101,591 | (2) | Telefonica Brasil SA-VIV ADR | | 881,810 | | 0.2 |
54,031 | | Telefonica Brasil SA-VIVT3 | | 466,470 | | 0.1 |
410,727 | | TIM SA/Brazil | | 1,002,586 | | 0.2 |
54,109 | | Transmissora Alianca de Energia Eletrica SA | | 424,163 | | 0.1 |
201,977 | | Vale SA ADR | | 2,718,610 | | 0.6 |
44,661 | | Vale SA | | 602,489 | | 0.1 |
1,156,000 | | Vamos Locacao de Caminhoes Maquinas e Equipamentos SA | | 3,025,114 | | 0.7 |
75,804 | (1) | Vasta Platform Ltd. | | 385,842 | | 0.1 |
69,454 | | Vibra Energia SA | | 224,305 | | 0.1 |
298,100 | (1) | Westwing Comercio Varejista Ltd.a | | 127,903 | | 0.0 |
7,624 | (1) | XP, Inc. | | 160,866 | | 0.0 |
| | | | 28,281,747 | | 6.5 |
| | | | | | |
| | Chile: 0.6% | | | | |
194,026 | | Cencosud SA | | 265,060 | | 0.1 |
22,643 | | Sociedad Quimica y Minera de Chile SA ADR | | 2,227,392 | | 0.5 |
| | | | 2,492,452 | | 0.6 |
| | | | | | |
| | China: 22.6% | | | | |
533,900 | (1) | Alibaba Group Holding Ltd. | | 6,002,888 | | 1.4 |
19,356 | (1) | Alibaba Group Holding Ltd. BABA ADR | | 1,729,846 | | 0.4 |
1,022,750 | (3) | A-Living Smart City Services Co. Ltd - H Shares | | 1,247,513 | | 0.3 |
79,000 | | Anhui Conch Cement Co., Ltd. - H Shares | | 312,578 | | 0.1 |
87,800 | | Anta Sports Products Ltd. | | 966,753 | | 0.2 |
21,163 | (1) | Baidu, Inc. ADR | | 2,890,231 | | 0.7 |
14,550 | (1) | Baidu, Inc. | | 251,488 | | 0.1 |
4,426 | (1),(2) | BeiGene Ltd. ADR | | 743,922 | | 0.2 |
153,000 | | Beijing Enterprises Holdings Ltd. | | 490,362 | | 0.1 |
256,000 | (1),(4) | Brilliance China Automotive Holdings Ltd. | | 117,077 | | 0.0 |
4,007,000 | (3) | CGN Power Co. Ltd. - H Shares | | 923,949 | | 0.2 |
525,000 | | China Coal Energy Co. - H Shares | | 408,412 | | 0.1 |
954,000 | | China Communications Services Corp., Ltd. - H Shares | | 387,864 | | 0.1 |
286,000 | (1) | China Conch Environment Protection Holdings Ltd. | | 226,463 | | 0.0 |
176,000 | | China Conch Venture Holdings Ltd. | | 341,209 | | 0.1 |
2,887,000 | | China Education Group Holdings Ltd. | | 2,446,741 | | 0.6 |
384,000 | (3) | China Feihe Ltd. | | 337,181 | | 0.1 |
194,000 | | China Life Insurance Co., Ltd. - H Shares | | 288,947 | | 0.1 |
217,000 | | China Longyuan Power Group Corp. Ltd. - H Shares | | 348,624 | | 0.1 |
166,236 | | China Merchants Port Holdings Co. Ltd. | | 268,114 | | 0.1 |
262,000 | | China National Building Material Co., Ltd. - H Shares | | 262,976 | | 0.1 |
275,500 | | China Overseas Land & Investment Ltd. | | 761,323 | | 0.2 |
1,751,650 | | China Petroleum & Chemical Corp. - H Shares | | 825,827 | | 0.2 |
Shares | | | | Value | | Percentage of Net Assets |
COMMON STOCK: (continued) | | | | |
| | China: (continued) | | | | |
870,000 | | China Power International Development Ltd. - H Shares | $ | 492,836 | | 0.1 |
1,341,000 | | China Railway Group Ltd. - H Shares | | 798,291 | | 0.2 |
356,000 | | China Resources Cement Holdings Ltd. - H Shares | | 218,975 | | 0.0 |
71,900 | | China Resources Gas Group Ltd. | | 301,724 | | 0.1 |
62,000 | | China Resources Land Ltd. | | 258,929 | | 0.1 |
308,000 | | China Resources Power Holdings Co. | | 579,885 | | 0.1 |
232,000 | | China Shenhua Energy Co., Ltd. - H Shares | | 655,711 | | 0.1 |
394,000 | | CITIC Ltd. | | 426,144 | | 0.1 |
222,100 | | COSCO Shipping Holdings Co., Ltd. - H Shares | | 333,213 | | 0.1 |
398,800 | | CSPC Pharmaceutical Group Ltd. | | 436,668 | | 0.1 |
23,000 | (1) | DiDi Global, Inc. ADR | | 65,780 | | 0.0 |
33,100 | | ENN Energy Holdings Ltd. | | 539,947 | | 0.1 |
1,267,000 | | Fu Shou Yuan International Group Ltd. | | 863,132 | | 0.2 |
91,000 | | Ganfeng Lithium Co. Ltd. - A Shares | | 1,206,934 | | 0.3 |
272,600 | (1) | GDS Holdings Ltd. | | 933,703 | | 0.2 |
168,000 | | GoerTek, Inc. - A Shares | | 794,408 | | 0.2 |
300,000 | | Guangzhou Automobile Group Co. Ltd. - H Shares | | 281,596 | | 0.1 |
192,000 | | Hengan International Group Co., Ltd. | | 929,322 | | 0.2 |
848,000 | | Huadian Power International Co. - H Shares | | 293,554 | | 0.1 |
628,000 | (1) | Huaneng Power International, Inc. - H Shares | | 300,254 | | 0.1 |
310,500 | (1) | Inner Mongolia Yitai Coal Co. - A Shares | | 489,588 | | 0.1 |
27,508 | (1),(2) | iQIYI, Inc. ADR | | 105,081 | | 0.0 |
106,118 | | JD.com, Inc. ADR | | 6,314,021 | | 1.4 |
31,532 | | JD.com, Inc. - Class A | | 940,680 | | 0.2 |
170,500 | | Kingboard Holdings Ltd. | | 498,833 | | 0.1 |
2,218,000 | | Kunlun Energy Co. Ltd. | | 1,632,819 | | 0.4 |
23,500 | | Kweichow Moutai Co. Ltd. - A Shares (Shanghai) | | 6,621,159 | | 1.5 |
77,700 | | Lao Feng Xiang Co. Ltd. | | 254,110 | | 0.1 |
63,000 | | Li Ning Co. Ltd. | | 511,033 | | 0.1 |
11,100 | (1),(3) | Meituan Class B | | 249,010 | | 0.1 |
74,250 | | NetEase, Inc. | | 1,388,978 | | 0.3 |
912,000 | | Peoples Insurance Co. Group of China Ltd. - H Shares | | 273,059 | | 0.1 |
7,520,000 | | PetroChina Co., Ltd. - H Shares | | 3,511,538 | | 0.8 |
237,900 | (3) | Pharmaron Beijing Co. Ltd. - H Shares | | 1,935,450 | | 0.4 |
660,000 | | PICC Property & Casualty Co., Ltd. - H Shares | | 677,485 | | 0.1 |
798,871 | | Ping An Bank Co. Ltd. - A Shares | | 1,506,251 | | 0.3 |
181,000 | | Ping An Insurance Group Co. of China Ltd. - H Shares | | 1,063,744 | | 0.2 |
119,199 | | Shandong Head Co. Ltd. - A Shares | | 652,111 | | 0.1 |
10,000 | | Shanghai Baosight Software Co. Ltd. | | 33,546 | | 0.0 |
332,975 | | Shanghai Baosight Software Co. Ltd. - A Shares | | 1,990,266 | | 0.4 |
131,690 | (1) | Shanghai Baosight Software Co., Ltd. - Class B | | 441,761 | | 0.1 |
128,926 | | Shenzhen Inovance Technology Co. Ltd. - A Shares | | 1,266,313 | | 0.3 |
62,100 | | Shenzhou International Group Holdings Ltd. | | 653,178 | | 0.1 |
984,000 | | Shougang Fushan Resources Group Ltd. | | 350,289 | | 0.1 |
47,839 | (1),(2) | Sohu.com Ltd. ADR | | 789,343 | | 0.2 |
93,927 | | Sungrow Power Supply Co. Ltd. - A Shares | | 1,730,973 | | 0.4 |
222,900 | | Tencent Holdings Ltd. | | 8,614,820 | | 2.0 |
522,000 | | Tingyi Cayman Islands Holding Corp. | | 859,310 | | 0.2 |
758,000 | (3) | Topsports International Holdings Ltd. - H Shares | | 632,255 | | 0.1 |
29,860 | (1) | Trip.com Group Ltd. ADR | | 769,791 | | 0.2 |
260,000 | | Tsingtao Brewery Co., Ltd. - H Shares | | 2,539,705 | | 0.6 |
1,177,600 | | Uni-President China Holdings Ltd. | | 1,077,224 | | 0.2 |
26,415 | (1) | Weibo Corp. ADR | | 507,696 | | 0.1 |
8,520 | (1) | Weibo Corp. | | 164,551 | | 0.0 |
252,000 | | Wuliangye Yibin Co. Ltd. - A Shares | | 6,682,658 | | 1.5 |
245,500 | (1),(3) | Wuxi Biologics Cayman, Inc. | | 2,349,955 | | 0.5 |
72,620 | | Wuxi Shangji Automation Co. Ltd. - A Shares | | 1,764,592 | | 0.4 |
102,927 | | Yifeng Pharmacy Chain Co. Ltd. - A Shares | | 791,363 | | 0.2 |
17,650 | | Yum China Holdings, Inc. - HKD | | 826,375 | | 0.2 |
204,500 | (1) | Zai Lab Ltd. | | 837,544 | | 0.2 |
93,600 | | Zhejiang Huayou Cobalt Co. Ltd. - A Shares | | 1,172,369 | | 0.3 |
| | | | 98,762,121 | | 22.6 |
| | | | | | |
| | Czech Republic: 0.2% | | | | |
22,042 | | CEZ AS | | 1,001,660 | | 0.2 |
| | | | | | |
| | Egypt: 0.6% | | | | |
3,703,268 | (1) | Cleopatra Hospital | | 825,588 | | 0.2 |
594,722 | | Commercial International Bank Egypt SAE | | 1,192,814 | | 0.3 |
Shares | | | Value | | Percentage of Net Assets |
COMMON STOCK: (continued) | | | | |
| | Egypt: (continued) | | | | |
247,873 | (1) | Egypt Kuwait Holding Co SAE | $ | 313,678 | | 0.0 |
1,013,850 | (1) | Fawry for Banking & Payment Technology Services SAE | | 167,725 | | 0.1 |
| | | | 2,499,805 | | 0.6 |
| | | | | | |
| | Georgia: 0.4% | | | | |
104,572 | | Bank of Georgia Group PLC | | 1,917,864 | | 0.4 |
| | | | | | |
| | Germany: 0.4% | | | | |
32,900 | (1),(3) | Delivery Hero SE | | 1,587,299 | | 0.4 |
| | | | | | |
| | Greece: 0.3% | | | | |
50,521 | | Hellenic Telecommunications Organization SA | | 869,865 | | 0.2 |
18,107 | | Mytilineos SA | | 280,055 | | 0.1 |
| | | | 1,149,920 | | 0.3 |
| | | | | | |
| | Hungary: 0.6% | | | | |
192,236 | | MOL Hungarian Oil & Gas PLC | | 1,415,324 | | 0.3 |
32,900 | | OTP Bank Nyrt | | 679,200 | | 0.2 |
20,243 | | Richter Gedeon Nyrt | | 414,076 | | 0.1 |
| | | | 2,508,600 | | 0.6 |
| | | | | | |
| | India: 14.9% | | | | |
16,349 | | ACC Ltd. | | 461,127 | | 0.1 |
98,662 | | Ambuja Cements Ltd. | | 467,984 | | 0.1 |
12,890 | | Asian Paints Ltd. | | 544,536 | | 0.1 |
37,209 | | Aurobindo Pharma Ltd. | | 257,364 | | 0.1 |
163,689 | | Bharat Electronics Ltd. | | 569,414 | | 0.1 |
8,218 | | Britannia Industries Ltd. | | 405,367 | | 0.1 |
137,000 | | Cholamandalam Investment and Finance Co. Ltd. | | 1,217,095 | | 0.3 |
47,994 | | Cipla Ltd. | | 593,290 | | 0.1 |
391,236 | | Coal India Ltd. | | 1,045,138 | | 0.2 |
28,665 | | Coromandel International Ltd. | | 373,172 | | 0.1 |
162,561 | (1) | Delhivery Ltd. | | 1,302,355 | | 0.3 |
8,017 | | Divis Laboratories Ltd. | | 388,903 | | 0.1 |
7,386 | | Dr Reddys Laboratories Ltd. | | 382,182 | | 0.1 |
233,343 | | GAIL India Ltd. | | 432,592 | | 0.1 |
24,711 | | Grasim Industries Ltd. | | 492,641 | | 0.1 |
197,541 | | HCL Technologies Ltd. | | 2,375,630 | | 0.5 |
263,669 | | HDFC Bank Ltd. | | 4,814,878 | | 1.1 |
39,700 | | HDFC Bank Ltd. ADR | | 2,493,160 | | 0.6 |
11,810 | | Hero Motocorp Ltd. | | 421,651 | | 0.1 |
87,773 | | Hindalco Industries Ltd. | | 461,970 | | 0.1 |
80,414 | | Hindustan Petroleum Corp. Ltd. | | 245,215 | | 0.0 |
366,600 | | Indian Oil Corp. Ltd. | | 338,127 | | 0.1 |
183,164 | | Infosys Ltd. | | 3,592,986 | | 0.8 |
95,520 | | ITC Ltd. | | 366,311 | | 0.1 |
72,260 | | JSW Steel Ltd. | | 575,569 | | 0.1 |
3,959 | (3) | Larsen & Toubro Infotech Ltd. | | 237,632 | | 0.0 |
17,641 | | Larsen & Toubro Ltd. | | 404,310 | | 0.1 |
60,552 | | Marico Ltd. | | 396,913 | | 0.1 |
3,784 | | Maruti Suzuki India Ltd. | | 421,081 | | 0.1 |
5,080 | | MindTree Ltd. | | 220,072 | | 0.0 |
18,958 | | Mphasis Ltd. | | 552,935 | | 0.1 |
1,565 | | Nestle India Ltd. | | 383,262 | | 0.1 |
191,955 | | NMDC Ltd. | | 261,994 | | 0.1 |
538,966 | | NTPC Ltd. | | 1,042,347 | | 0.2 |
87,000 | | Oberoi Realty Ltd. | | 1,003,567 | | 0.2 |
231,225 | | Oil & Natural Gas Corp., Ltd. | | 392,525 | | 0.1 |
169,432 | | Oil India Ltd. | | 407,520 | | 0.1 |
6,809 | | Oracle Financial Services Software Ltd. | | 270,956 | | 0.1 |
555 | | Page Industries Ltd. | | 343,231 | | 0.1 |
9,943 | | Persistent Systems Ltd. | | 457,769 | | 0.1 |
122,311 | | Petronet LNG Ltd. | | 340,414 | | 0.1 |
80,465 | | Phoenix Mills Ltd. | | 1,277,358 | | 0.3 |
9,609 | | Pidilite Industries Ltd. | | 298,094 | | 0.1 |
266,178 | | Power Grid Corp. of India Ltd. | | 720,827 | | 0.2 |
602,738 | | Reliance Industries Ltd. | | 19,169,682 | | 4.4 |
63,000 | (1) | ReNew Energy Global PLC | | 427,770 | | 0.1 |
12,409 | | SRF Ltd. | | 382,028 | | 0.1 |
48,630 | | Sun Pharmaceutical Industries Ltd. | | 580,021 | | 0.1 |
75,012 | | Tata Consultancy Services Ltd. | | 3,137,662 | | 0.7 |
134,388 | | Tata Consumer Products Ltd. | | 1,379,933 | | 0.3 |
3,686 | | Tata Elxsi Ltd. | | 406,312 | | 0.1 |
145,807 | | Tata Power Co. Ltd. | | 410,473 | | 0.1 |
1,168,420 | | Tata Steel Ltd. | | 1,590,298 | | 0.4 |
85,255 | | Tech Mahindra Ltd. | | 1,133,672 | | 0.3 |
9,896 | | Titan Co., Ltd. | | 294,720 | | 0.1 |
3,529 | | Ultratech Cement Ltd. | | 292,513 | | 0.1 |
54,600 | | UPL Ltd. | | 512,232 | | 0.1 |
141,259 | | Vedanta Ltd. | | 454,975 | | 0.1 |
24,365 | | Voltas Ltd. | | 310,069 | | 0.1 |
86,247 | | Wipro Ltd. | | 460,198 | | 0.1 |
50,782 | | Zee Entertainment Enterprises Ltd. | | 159,084 | | 0.0 |
| | | | 65,153,106 | | 14.9 |
| | | | | | |
| | Indonesia: 2.5% | | | | |
3,356,800 | | Adaro Energy Indonesia Tbk PT | | 737,080 | | 0.2 |
9,007,300 | | Astra International Tbk PT | | 3,846,999 | | 0.9 |
11,380,000 | | Bank BTPN Syariah Tbk PT | | 2,159,199 | | 0.5 |
4,819,400 | | Bank Central Asia Tbk PT | | 2,396,496 | | 0.5 |
3,770,600 | | Telkom Indonesia Persero Tbk PT | | 1,076,959 | | 0.2 |
347,400 | | United Tractors Tbk PT | | 759,212 | | 0.2 |
| | | | 10,975,945 | | 2.5 |
| | | | | | |
| | Kazakhstan: 0.4% | | | | |
35,280 | | Kaspi.KZ JSC GDR | | 1,852,200 | | 0.4 |
| | | | | | |
| | Kuwait: 0.5% | | | | |
160,405 | | Agility Public Warehousing Co. KSC | | 468,283 | | 0.1 |
85,852 | | Humansoft Holding Co. KSC | | 927,628 | | 0.2 |
Shares | | | Value | | Percentage of Net Assets |
COMMON STOCK: (continued) | | | | |
| | Kuwait: (continued) | | | | |
184,492 | | Mobile Telecommunications Co. KSCP | $ | 365,509 | | 0.1 |
90,803 | | National Bank of Kuwait SAKP | | 317,105 | | 0.1 |
| | | | 2,078,525 | | 0.5 |
| | | | | | |
| | Malaysia: 0.8% | | | | |
416,100 | | Axiata Group Bhd | | 268,335 | | 0.1 |
234,100 | | CIMB Group Holdings Bhd | | 274,263 | | 0.1 |
450,100 | | Digi.Com BHD | | 367,567 | | 0.1 |
409,900 | | Petronas Chemicals Group Bhd | | 818,836 | | 0.2 |
88,800 | | Petronas Gas BHD | | 342,238 | | 0.1 |
189,000 | | Press Metal Aluminium Holdings Bhd | | 206,837 | | 0.0 |
1,083,000 | | Sime Darby Bhd | | 570,605 | | 0.1 |
249,600 | | Sime Darby Plantation Bhd | | 244,589 | | 0.0 |
287,400 | | Tenaga Nasional BHD | | 533,406 | | 0.1 |
399,787 | (1) | UEM Sunrise Bhd | | 27,920 | | 0.0 |
| | | | 3,654,596 | | 0.8 |
| | | | | | |
| | Mexico: 5.3% | | | | |
808,889 | | Alfa SA de CV | | 555,912 | | 0.1 |
76,489 | | America Movil SAB de CV-AMX ADR | | 1,447,937 | | 0.3 |
1,212,278 | | America Movil SAB de CV-AMXL | | 1,151,889 | | 0.3 |
79,863 | | Arca Continental SAB de CV | | 552,113 | | 0.1 |
181,199 | | Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand ADR | | 960,355 | | 0.2 |
736,452 | (1) | Cemex SA de CV - Unit | | 295,874 | | 0.1 |
253,944 | (1) | Cemex SAB de CV ADR | | 1,018,315 | | 0.2 |
23,389 | | Coca-Cola Femsa SA de CV ADR | | 1,408,719 | | 0.3 |
116,277 | | Coca-Cola Femsa SAB de CV - Unit | | 702,265 | | 0.2 |
105,363 | | El Puerto de Liverpool SAB de CV | | 473,282 | | 0.1 |
28,805 | | Fomento Economico Mexicano SAB de CV ADR | | 1,785,334 | | 0.4 |
97,500 | | Fomento Economico Mexicano SAB de CV - Unit | | 605,121 | | 0.1 |
30,952 | | Gruma SAB de CV | | 384,685 | | 0.1 |
45,536 | | Grupo Aeroportuario del C | | 277,275 | | 0.1 |
47,984 | | Grupo Aeroportuario del Pacifico SA de CV | | 649,539 | | 0.1 |
27,390 | | Grupo Aeroportuario del Sureste SA de CV | | 514,936 | | 0.1 |
318,612 | | Grupo Bimbo SAB de CV | | 1,127,657 | | 0.3 |
161,433 | | Grupo Comercial Chedraui, S.A. de C.V. | | 490,504 | | 0.1 |
235,234 | | Grupo Financiero Banorte | | 1,340,634 | | 0.3 |
156,915 | (1) | Grupo Financiero Inbursa SA | | 289,960 | | 0.1 |
105,847 | | Grupo Mexico SA de CV Series B | | 419,483 | | 0.1 |
166,599 | | Grupo Televisa S.A. - Unit | | 261,354 | | 0.1 |
259,931 | | Grupo Televisa SAB ADR | | 2,032,660 | | 0.5 |
197,912 | | Orbia Advance Corp. SAB de CV | | 438,240 | | 0.1 |
223,720 | | Prologis Property Mexico SA de CV | | 626,532 | | 0.1 |
34,635 | | Promotora y Operadora de Infraestructura SAB de CV | | 250,603 | | 0.1 |
134,100 | | Qualitas Controladora SAB de CV | | 564,805 | | 0.1 |
375,000 | | Regional SAB de CV | | 2,053,298 | | 0.5 |
120,632 | | Wal-Mart de Mexico SAB de CV | | 438,549 | | 0.1 |
| | | | 23,117,830 | | 5.3 |
| | | | | | |
| | Netherlands: 1.3% | | | | |
87,494 | | Prosus NV | | 5,707,647 | | 1.3 |
| | | | | | |
| | Peru: 0.1% | | | | |
107,888 | | Cia de Minas Buenaventura SAA ADR | | 586,911 | | 0.1 |
| | | | | | |
| | Philippines: 1.2% | | | | |
7,168,000 | (1) | Bloomberry Resorts Corp. | | 787,335 | | 0.2 |
5,540 | | Globe Telecom, Inc. | | 207,284 | | 0.0 |
983,710 | | International Container Terminal Services, Inc. | | 3,465,578 | | 0.8 |
52,120 | | Manila Electric Co. | | 321,697 | | 0.1 |
21,350 | | PLDT, Inc. | | 644,246 | | 0.1 |
| | | | 5,426,140 | | 1.2 |
| | | | | | |
| | Poland: 0.2% | | | | |
139,300 | (1) | InPost SA | | 919,829 | | 0.2 |
| | | | | | |
| | Qatar: 0.4% | | | | |
139,991 | | Industries Qatar QSC | | 659,106 | | 0.2 |
453,167 | | Mesaieed Petrochemical Holding Co. | | 340,751 | | 0.1 |
417,081 | | Qatar Aluminum Manufacturing Co. | | 196,483 | | 0.0 |
121,252 | | Qatar Fuel QSC | | 592,984 | | 0.1 |
| | | | 1,789,324 | | 0.4 |
| | | | | | |
| | Romania: 0.1% | | | | |
5,756,500 | | OMV Petrom SA | | 633,912 | | 0.1 |
| | | | | | |
| | Russia: –% | | | | |
164,710 | (4) | Alrosa PJSC | | – | | – |
951,000 | (3),(4) | Detsky Mir PJSC | | – | | – |
342,800 | (4) | Fix Price Group Ltd. GDR | | – | | – |
478,420 | (4) | Gazprom PJSC ADR | | – | | – |
80,301 | (1),(4) | Gazprom PJSC | | – | | – |
22,051 | (4) | Lukoil PJSC ADR | | – | | – |
3,417 | (4) | Lukoil PJSC | | – | | – |
14,210 | (4) | Magnit OJSC | | – | | – |
Shares | | | Value | | Percentage of Net Assets |
COMMON STOCK: (continued) | | | | |
| | Russia: (continued) | | | | |
271,070 | (4) | Magnitogorsk Iron & Steel Works PJSC | $ | – | | – |
1,179 | (4) | MMC Norilsk Nickel OJSC | | – | | – |
91,474 | (4) | Mobile Telesystems OJSC | | – | | – |
83,570 | (4) | Novolipetsk Steel PJSC | | – | | – |
4,078 | (4) | PhosAgro PJSC | | – | | – |
453,015 | (4) | Rosneft Oil Co. PJSC GDR | | – | | – |
70,760 | (1),(4),(5) | Sberbank of Russia PJSC | | – | | – |
251,395 | (4),(5) | Sberbank PAO ADR | | – | | – |
16,184 | (4) | Severstal PAO | | – | | – |
34,543 | (4) | Tatneft PJSC | | – | | – |
18,262 | (1),(4) | VK Co. Ltd. GDR | | – | | – |
59,681 | (1),(4) | Yandex NV | | – | | – |
| | | | – | | – |
| | | | | | |
| | Saudi Arabia: 1.1% | | | | |
19,315 | | Advanced Petrochemical Co. | | 253,304 | | 0.1 |
21,668 | | Bupa Arabia for Cooperative Insurance Co. | | 930,455 | | 0.2 |
8,774 | | Dr Sulaiman Al Habib Medical Services Group Co. | | 481,406 | | 0.1 |
40,133 | | Etihad Etisalat Co. | | 405,228 | | 0.1 |
12,417 | | Jarir Marketing Co. | | 541,032 | | 0.1 |
8,021 | | Mouwasat Medical Services Co. | | 528,135 | | 0.1 |
25,694 | | SABIC Agri-Nutrients Co. | | 916,912 | | 0.2 |
37,939 | | Saudi Electricity Co. | | 251,075 | | 0.0 |
12,324 | | Saudi Telecom Co. | | 331,375 | | 0.1 |
23,039 | | Yanbu National Petrochemical Co. | | 306,332 | | 0.1 |
| | | | 4,945,254 | | 1.1 |
| | | | | | |
| | Singapore: 0.2% | | | | |
840,600 | (1) | Yangzijiang Financial Holding Pte Ltd. | | 240,363 | | 0.1 |
840,600 | | Yangzijiang Shipbuilding Holdings Ltd. | | 566,737 | | 0.1 |
| | | | 807,100 | | 0.2 |
| | | | | | |
| | South Africa: 2.7% | | | | |
19,663 | | African Rainbow Minerals Ltd. | | 276,619 | | 0.1 |
28,918 | | Aspen Pharmacare Holdings Ltd. | | 253,444 | | 0.0 |
80,628 | | AVI Ltd. | | 336,047 | | 0.1 |
50,255 | | Barloworld Ltd. | | 276,886 | | 0.1 |
29,694 | | Bid Corp. Ltd. | | 546,713 | | 0.1 |
73,117 | | Bidvest Group Ltd. | | 940,491 | | 0.2 |
38,801 | | Clicks Group Ltd. | | 653,244 | | 0.1 |
25,456 | (1) | Distell Group Holdings Ltd. | | 260,380 | | 0.0 |
34,645 | | Exxaro Resources Ltd. | | 421,118 | | 0.1 |
8,511 | | Kumba Iron Ore Ltd. | | 253,634 | | 0.1 |
264,891 | | Life Healthcare Group Holdings Ltd. | | 313,835 | | 0.1 |
21,764 | | Mr Price Group Ltd. | | 236,967 | | 0.0 |
61,613 | | MTN Group Ltd. | | 517,105 | | 0.1 |
52,409 | | MultiChoice Group | | 375,314 | | 0.1 |
1,988 | | Naspers Ltd. | | 280,878 | | 0.1 |
67,059 | (1) | PSG Group Ltd. | | 357,487 | | 0.1 |
102,287 | | Rand Merchant Investment Holdings Ltd. | | 170,724 | | 0.0 |
59,070 | | Reinet Investments SCA | | 1,027,043 | | 0.2 |
32,903 | | Remgro Ltd. | | 270,943 | | 0.1 |
85,184 | | Shoprite Holdings Ltd. | | 1,152,539 | | 0.3 |
32,768 | | Spar Group Ltd. | | 264,707 | | 0.1 |
581,918 | | Transaction Capital Ltd. | | 1,335,400 | | 0.3 |
89,736 | | Truworths International Ltd. | | 276,389 | | 0.1 |
64,643 | | Vodacom Group Pty Ltd. | | 537,094 | | 0.1 |
183,374 | | Woolworths Holdings Ltd./South Africa | | 584,868 | | 0.1 |
| | | | 11,919,869 | | 2.7 |
| | | | | | |
| | South Korea: 10.7% | | | | |
5,450 | | Coway Co. Ltd. | | 268,856 | | 0.1 |
28,200 | (1) | Doosan Fuel Cell Co. Ltd. | | 718,058 | | 0.2 |
8,602 | | GS Holdings Corp. | | 275,733 | | 0.1 |
10,150 | | Hana Financial Group, Inc. | | 290,863 | | 0.1 |
10,462 | | Hyundai Engineering & Construction Co. Ltd. | | 340,187 | | 0.1 |
2,079 | | Hyundai Mobis Co. Ltd. | | 365,919 | | 0.1 |
9,137 | | KB Financial Group, Inc. | | 339,823 | | 0.1 |
1,093 | | KCC Corp. | | 245,760 | | 0.0 |
7,772 | | Kia Corp. | | 486,585 | | 0.1 |
26,938 | (1) | Korea Electric Power Corp. | | 463,951 | | 0.1 |
1,447 | | Korea Zinc Co., Ltd. | | 531,967 | | 0.1 |
12,380 | | KT&G Corp. | | 780,300 | | 0.2 |
6,415 | | LG Chem Ltd. | | 2,987,817 | | 0.7 |
4,643 | | LG Corp. | | 289,796 | | 0.1 |
3,414 | | LG Electronics, Inc. | | 249,025 | | 0.0 |
3,587 | | LG Innotek Co. Ltd. | | 1,005,722 | | 0.2 |
174,254 | | LG Uplus Corp. | | 1,679,129 | | 0.4 |
1,079 | | Lotte Confectionery Co. Ltd. | | 97,635 | | 0.0 |
4,963 | | Lotte Corp. | | 142,844 | | 0.0 |
8,500 | | NAVER Corp. | | 1,700,351 | | 0.4 |
5,882 | | POSCO Holdings, Inc. | | 1,098,510 | | 0.2 |
3,165 | | Samsung Electro-Mechanics Co. Ltd. | | 348,528 | | 0.1 |
258,528 | | Samsung Electronics Co., Ltd. 005930 | | 12,237,464 | | 2.8 |
15,175 | | Samsung Life Insurance Co. Ltd. | | 709,384 | | 0.2 |
15,855 | | Shinhan Financial Group Co., Ltd. | | 436,634 | | 0.1 |
117,069 | | SK Hynix, Inc. | | 8,850,046 | | 2.0 |
137,246 | (1) | SK Square Co. Ltd. | | 4,519,226 | | 1.0 |
58,387 | | SK Telecom Co. Ltd. ADR | | 1,338,814 | | 0.3 |
88,787 | | SK Telecom Co., Ltd. | | 3,664,723 | | 0.8 |
32,212 | | Woori Financial Group, Inc. | | 295,599 | | 0.1 |
| | | | 46,759,249 | | 10.7 |
| | | | | | |
| | Taiwan: 14.8% | | | | |
998,000 | | Acer, Inc. | | 757,211 | | 0.2 |
44,794 | | Advantech Co. Ltd. | | 515,323 | | 0.1 |
Shares | | | Value | | Percentage of Net Assets |
COMMON STOCK: (continued) | | | | |
| | Taiwan: (continued) | | | | |
308,000 | | ASE Technology Holding Co. Ltd. | $ | 897,525 | | 0.2 |
273,000 | | Asia Cement Corp. | | 378,817 | | 0.1 |
44,000 | | Asustek Computer, Inc. | | 415,080 | | 0.1 |
1,819,000 | | AUO Corp. | | 816,803 | | 0.2 |
85,000 | | Catcher Technology Co., Ltd. | | 485,471 | | 0.1 |
156,000 | | Cathay Financial Holding Co., Ltd. | | 237,987 | | 0.1 |
66,291 | | Chailease Holding Co. Ltd. | | 471,446 | | 0.1 |
202,000 | | Chicony Electronics Co. Ltd. | | 535,684 | | 0.1 |
655,000 | | China Development Financial Holding Corp. | | 283,544 | | 0.1 |
1,991,000 | | China Steel Corp. | | 1,853,755 | | 0.4 |
171,500 | | Chroma ATE, Inc. | | 990,168 | | 0.2 |
151,000 | | Chunghwa Telecom Co., Ltd. | | 612,701 | | 0.1 |
286,000 | | Compal Electronics, Inc. | | 218,412 | | 0.1 |
413,000 | | CTBC Financial Holding Co. Ltd. | | 317,296 | | 0.1 |
64,000 | | Delta Electronics, Inc. | | 556,616 | | 0.1 |
83,000 | | E Ink Holdings, Inc. | | 546,039 | | 0.1 |
20,000 | | Eclat Textile Co. Ltd. | | 273,451 | | 0.1 |
450,000 | | Far Eastern New Century Corp. | | 457,848 | | 0.1 |
113,000 | | Far EasTone Telecommunications Co., Ltd. | | 284,904 | | 0.1 |
1,097,000 | (1),(3) | FIT Hon Teng Ltd. | | 176,537 | | 0.0 |
164,000 | | Formosa Chemicals & Fibre Co. | | 384,468 | | 0.1 |
151,000 | | Formosa Plastics Corp. | | 465,734 | | 0.1 |
120,000 | | Foxconn Technology Co., Ltd. | | 198,005 | | 0.0 |
128,000 | | Fubon Financial Holding Co., Ltd. | | 240,437 | | 0.1 |
31,000 | | Giant Manufacturing Co., Ltd. | | 253,635 | | 0.1 |
257,000 | | HON HAI Precision Industry Co., Ltd. | | 939,270 | | 0.2 |
1,224,000 | | Innolux Corp. | | 423,910 | | 0.1 |
450,000 | | Lite-On Technology Corp. | | 987,387 | | 0.2 |
445,000 | | MediaTek, Inc. | | 10,252,838 | | 2.3 |
108,000 | | Micro-Star International Co., Ltd. | | 427,561 | | 0.1 |
244,000 | | Nan Ya Plastics Corp. | | 549,882 | | 0.1 |
69,000 | | Novatek Microelectronics Corp., Ltd. | | 614,707 | | 0.1 |
10,000 | | Parade Technologies Ltd. | | 376,584 | | 0.1 |
148,000 | | Powertech Technology, Inc. | | 424,227 | | 0.1 |
111,511 | | Poya International Co. Ltd. | | 1,399,495 | | 0.3 |
377,000 | | Quanta Computer, Inc. | | 1,070,279 | | 0.2 |
51,000 | | Realtek Semiconductor Corp. | | 586,487 | | 0.1 |
157,000 | | Ruentex Development Co. Ltd. | | 288,456 | | 0.1 |
103,000 | | Synnex Technology International Corp. | | 191,083 | | 0.0 |
490,905 | | Taiwan Cement Corp. | | 637,032 | | 0.2 |
128,000 | | Taiwan Fertilizer Co., Ltd. | | 274,519 | | 0.1 |
104,000 | | Taiwan Mobile Co., Ltd. | | 352,923 | | 0.1 |
1,433,000 | | Taiwan Semiconductor Manufacturing Co., Ltd. | | 24,575,329 | | 5.6 |
20,038 | | Taiwan Semiconductor Manufacturing Co., Ltd. ADR | | 1,772,962 | | 0.4 |
58,000 | | Unimicron Technology Corp. | | 309,412 | | 0.1 |
162,000 | | Uni-President Enterprises Corp. | | 381,370 | | 0.1 |
1,001,000 | | United Microelectronics Corp. | | 1,346,604 | | 0.3 |
148,000 | | Vanguard International Semiconductor Corp. | | 356,464 | | 0.1 |
8,000 | | Voltronic Power Technology Corp. | | 392,938 | | 0.1 |
634,000 | | Walsin Lihwa Corp. | | 721,261 | | 0.2 |
678,000 | | Winbond Electronics Corp. | | 527,838 | | 0.1 |
20,000 | | Wiwynn Corp. | | 494,731 | | 0.1 |
422,000 | | Yuanta Financial Holding Co., Ltd. | | 282,866 | | 0.1 |
| | | | 64,583,312 | | 14.8 |
| | | | | | |
| | Thailand: 1.2% | | | | |
119,400 | | Advanced Info Service PCL | | 656,298 | | 0.1 |
477,000 | | Bangkok Dusit Medical Services PCL - Foreign | | 348,850 | | 0.1 |
1,115,000 | | Banpu PCL (Foreign) | | 410,522 | | 0.1 |
1,035,900 | | Digital Telecommunications Infrastructure Fund | | 379,915 | | 0.1 |
223,300 | | Indorama Ventures PCL - Foreign | | 267,284 | | 0.1 |
243,800 | | Intouch Holdings PCL - Foreign | | 468,353 | | 0.1 |
2,622,800 | | IRPC PCL | | 235,031 | | 0.0 |
1,228,500 | | Land & Houses PCL - Foreign | | 284,952 | | 0.1 |
120,600 | | PTT Exploration & Production PCL - Foreign | | 542,223 | | 0.1 |
192,500 | | PTT Global Chemical PCL | | 233,778 | | 0.0 |
714,300 | | PTT PCL - Foreign | | 680,691 | | 0.2 |
77,800 | | Siam Cement PCL - Foreign | | 791,641 | | 0.2 |
| | | | 5,299,538 | | 1.2 |
| | | | | | |
| | Turkey: 1.7% | | | | |
180,319 | | Agesa Hayat ve Emeklilik AS | | 205,125 | | 0.0 |
792,992 | | Akbank TAS | | 381,967 | | 0.1 |
109,737 | | BIM Birlesik Magazalar AS | | 564,104 | | 0.1 |
4,300 | (1) | D-MARKET Elektronik Hizmetler ve Ticaret AS ADR | | 3,784 | | 0.0 |
160,987 | | Eregli Demir ve Celik Fabrikalari TAS | | 249,372 | | 0.1 |
330,258 | | KOC Holding AS | | 682,640 | | 0.1 |
Shares | | | Value | | Percentage of Net Assets |
COMMON STOCK: (continued) | | | | |
| | Turkey: (continued) | | | | |
715,930 | (1),(3) | MLP Saglik Hizmetleri AS | $ | 1,641,546 | | 0.4 |
519,646 | (1) | Petkim Petrokimya Holding | | 258,864 | | 0.1 |
906,810 | | Sok Marketler Ticaret AS | | 710,557 | | 0.2 |
132,000 | | Tofas Turk Otomobil Fabrikasi AS | | 545,015 | | 0.1 |
219,941 | (1) | Turk Hava Yollari | | 618,705 | | 0.1 |
687,295 | | Turkcell Iletisim Hizmet AS | | 653,035 | | 0.1 |
96,864 | | Turkcell Iletisim Hizmet AS ADR | | 231,505 | | 0.1 |
45,593 | (1) | Turkiye Petrol Rafinerileri AS | | 682,951 | | 0.2 |
| | | | 7,429,170 | | 1.7 |
| | | | | | |
| | United Arab Emirates: 0.5% | | | | |
882,089 | | Air Arabia PJSC | | 529,183 | | 0.1 |
243,416 | | Aldar Properties PJSC | | 325,184 | | 0.1 |
251,377 | (1) | Emaar Development PJSC | | 303,946 | | 0.1 |
187,223 | | Emaar Properties PJSC | | 280,964 | | 0.0 |
74,837 | | Emirates Telecommunications Group Co. PJSC | | 568,444 | | 0.2 |
| | | | 2,007,721 | | 0.5 |
| | | | | | |
| | United Kingdom: 0.9% | | | | |
58,372 | (1) | Georgia Capital PLC | | 449,262 | | 0.1 |
954,000 | (1) | Helios Towers PLC | | 1,677,272 | | 0.4 |
33,211 | (2) | Rio Tinto PLC ADR | | 2,026,867 | | 0.4 |
| | | | 4,153,401 | | 0.9 |
| | | | | | |
| | United States: 1.0% | | | | |
22,036 | | Intel Corp. | | 800,127 | | 0.2 |
54,944 | | Micron Technology, Inc. | | 3,398,836 | | 0.8 |
| | | | 4,198,963 | | 1.0 |
| | | | | | |
| Total Common Stock | | | | |
| (Cost $487,814,617) | | 419,143,779 | | 95.9 |
| | | | | | |
PREFERRED STOCK: 2.0% | | | | |
| | Brazil: 1.2% | | | | |
61,292 | | Bradespar SA | | 266,296 | | 0.0 |
306,142 | | Cia Energetica de Minas Gerais | | 665,642 | | 0.1 |
364,774 | | Cia Paranaense de Energia | | 491,385 | | 0.1 |
168,992 | | Gerdau SA | | 802,811 | | 0.2 |
698,783 | | Itausa SA | | 1,170,918 | | 0.3 |
151,343 | | Metalurgica Gerdau SA | | 298,059 | | 0.1 |
116,768 | | Petroleo Brasileiro SA | | 772,947 | | 0.2 |
1,092,000 | | Raizen SA | | 932,846 | | 0.2 |
| | | | 5,400,904 | | 1.2 |
| | | | | | |
| | Russia: –% | | | | |
863,754 | (4) | Surgutneftegas | | – | | – |
378 | (1),(4) | Transneft PJSC | | – | | – |
217 | (4) | Transneft PJSC | | – | | – |
| | | | – | | – |
| | | | | | |
| | South Korea: 0.8% | | | | |
77,101 | | Samsung Electronics Co., Ltd. | | 3,388,562 | | 0.8 |
| | | | | | |
| Total Preferred Stock | | | | |
| (Cost $13,185,727) | | 8,789,466 | | 2.0 |
| | | | | | |
RIGHTS: 0.0% | | | | | | |
| | Romania: 0.0% | | | | |
5,474,989 | (1) | OMV Petrom SA | | 50,373 | | 0.0 |
| | | | | | |
| | Taiwan: 0.0% | | | | |
41,546 | (1) | Walsin Lihwa Corp. | | 5,412 | | 0.0 |
| | | | | | |
| Total Rights | | | | |
| (Cost $–) | | 55,785 | | 0.0 |
| | | | | | |
| Total Long-Term Investments | | | | |
| (Cost $501,000,344) | | 427,989,030 | | 97.9 |
| | | | | | |
Principal Amount† | | | | Value | | Percentage of Net Assets |
SHORT-TERM INVESTMENTS: 2.4% | | | | |
| | Repurchase Agreements: 1.1% | | | | |
1,075,022 | (6) | Bank of America Inc., Repurchase Agreement dated 07/29/22, 2.30%, due 08/01/22 (Repurchase Amount $1,075,225, collateralized by various U.S. Government Agency Obligations, 2.000%-4.500%, Market Value plus accrued interest $1,096,522, due 07/01/43-07/01/52) | | 1,075,022 | | 0.2 |
318,421 | (6) | Barclays Capital, Inc., Repurchase Agreement dated 07/29/22, 2.23%, due 08/01/22 (Repurchase Amount $318,479, collateralized by various U.S. Government Securities, 0.000%, Market Value plus accrued interest $324,789, due 08/15/22-05/15/52) | | 318,421 | | 0.1 |
1,075,022 | (6) | HSBC Securities USA, Repurchase Agreement dated 07/29/22, 2.26%, due 08/01/22 (Repurchase Amount $1,075,222, collateralized by various U.S. Government Agency Obligations, 2.500%-4.000%, Market Value plus accrued interest $1,096,522, due 03/20/45-10/20/51) | | 1,075,022 | | 0.3 |
Principal Amount† | | | Value | | Percentage of Net Assets | |
SHORT-TERM INVESTMENTS: (continued) | | | | | |
| | Repurchase Agreements (continued) | | | | | |
1,075,022 | (6) | National Bank Financial, Repurchase Agreement dated 07/29/22, 2.34%, due 08/01/22 (Repurchase Amount $1,075,229, collateralized by various U.S. Government Securities, 0.000%-3.250%, Market Value plus accrued interest $1,096,522, due 08/01/22-09/09/49) | $ | 1,075,022 | | 0.3 | |
1,075,022 | (6) | RBC Dominion Securities Inc., Repurchase Agreement dated 07/29/22, 2.30%, due 08/01/22 (Repurchase Amount $1,075,225, collateralized by various U.S. Government/U.S. Government Agency Obligations, 0.000%-5.500%, Market Value plus accrued interest $1,096,522, due 08/25/22-05/20/52) | | 1,075,022 | | 0.2 | |
| | | | | | | |
| Total Repurchase Agreements | | | | | |
| (Cost $4,618,509) | | 4,618,509 | | 1.1 | |
| | | | | | | |
Shares | | | Value | | Percentage of Net Assets | |
| | Mutual Funds: 1.3% | | | | | |
4,870,175 | (7) | BlackRock Liquidity Funds, FedFund, Institutional Class, 1.730% | | 4,870,175 | | 1.1 | |
1,015,000 | (7) | Goldman Sachs Financial Square Government Fund - Institutional Shares, 1.870% | | 1,015,000 | | 0.2 | |
| Total Mutual Funds | | | | | |
| (Cost $5,885,175) | | 5,885,175 | | 1.3 | |
| | | | | | | |
| Total Short-Term Investments | | | | | |
| (Cost $10,503,684) | | 10,503,684 | | 2.4 | |
| | | | | | | |
| Total Investments in Securities (Cost $511,504,028) | $ | 438,492,714 | | 100.3 | |
| Liabilities in Excess of Other Assets | | (1,401,238 | ) | (0.3 | ) |
| Net Assets | $ | 437,091,476 | | 100.0 | |
† | Unless otherwise indicated, principal amount is shown in USD. |
ADR | American Depositary Receipt |
GDR | Global Depositary Receipt |
(1) | Non-income producing security. |
(2) | Security, or a portion of the security, is on loan. |
(3) | Securities with purchases pursuant to Rule 144A or section 4(a)(2), under the Securities Act of 1933 and may not be resold subject to that rule except to qualified institutional buyers. |
(4) | For fair value measurement disclosure purposes, security is categorized as Level 3, whose value was determined using significant unobservable inputs. |
(5) | Restricted security as to resale, excluding Rule 144A securities. As of July 31, 2022, the Fund held restricted securities with a fair value of $– or 0.0% of net assets. Please refer to the table below for additional details. |
(6) | All or a portion of the security represents securities purchased with cash collateral received for securities on loan. |
(7) | Rate shown is the 7-day yield as of July 31, 2022. |
(1) | For the period ended July 31, 2022, certain securities have transferred in and out of Level 2 and Level 3 measurements during the year. At July 31, 2022, securities valued at $12,265,095 were transferred from Level 2 to Level 3 within the fair value hierarchy due to a lack of significant other observable inputs. |
+ | Other Financial Instruments may include open forward foreign currency contracts, futures, centrally cleared swaps, OTC swaps and written options. Forward foreign currency contracts, futures and centrally cleared swaps are fair valued at the unrealized appreciation (depreciation) on the instrument. OTC swaps and written options are valued at the fair value of the instrument. |
# | The earlier close of the foreign markets gives rise to the possibility that significant events, including broad market moves, may have occurred in the interim and may materially affect the value of those securities. To account for this, the Fund may frequently value many of its foreign equity securities using fair value prices based on third party vendor modeling tools to the extent available. Accordingly, a portion of the Fund's investments are categorized as Level 2 investments. |
At July 31, 2022, Voya Multi-Manager Emerging Markets Equity Fund held the following restricted securities:
At July 31, 2022, the following futures contracts were outstanding for Voya Multi-Manager Emerging Markets Equity Fund:
At July 31, 2022, the aggregate cost of securities and other investments and the composition of unrealized appreciation and depreciation of securities and other investments on a tax basis were: