SCHEDULE OF INVESTMENTS (Unaudited) June 30, 2023
  Moody's/
Standard &
Poor's
Rating(a)
  Principal
Amount (000's)
  Value
(Note1)
CORPORATE DEBT SECURITIES (82.12%)          
AEROSPACE/DEFENSE (2.16%)          
Boeing Co., Sr. Unsec. Notes, 4.875%, 05/01/25(b) Baa2/BBB-   $1,657   $  1,633,208
Boeing Co., Sr. Unsec. Notes, 5.805%, 05/01/50(b) Baa2/BBB-     463        459,562
Northrop Grumman Corp., Sr. Unsec. Notes, 3.250%, 01/15/28(b) Baa1/BBB+     365       340,287
Northrop Grumman Corp., Sr. Unsec. Notes, 7.750%, 06/01/29 Baa1/BBB+     500        559,486
Raytheon Technologies Corp., Sr. Unsec. Notes, 3.750%, 11/01/46(b) Baa1/A-     700       561,417
Rolls-Royce PLC, Co. Gty., 5.750%, 10/15/27, 144A(b) Ba3/BB     369        359,642
TransDigm, Inc., Sr. Sec. Notes, 6.750%, 08/15/28, 144A(b) Ba3/B+      90        90,350
            4,003,952
AGRICULTURE (0.73%)          
Altria Group, Inc., Co. Gty., 4.800%, 02/14/29(b) A3/BBB      97         94,287
Altria Group, Inc., Co. Gty., 5.950%, 02/14/49(b) A3/BBB     329       311,939
BAT International Finance PLC, Co. Gty., 1.668%, 03/25/26(b) Baa2/BBB+     425        382,010
Philip Morris International, Inc., Sr. Unsec. Notes, 5.625%, 11/17/29(b) A2/A-      90        91,671
Philip Morris International, Inc., Sr. Unsec. Notes, 2.100%, 05/01/30(b) A2/A-     580       479,743
            1,359,650
AIRLINES (3.59%)          
Air Canada, Sr. Sec. Notes, 3.875%, 08/15/26, 144A(b) Ba2/BB-     246       228,031
Air Canada Pass Through Certs., Series 2020-2, Class A, 5.250%, 04/01/29, 144A NA/A     191        184,651
American Airlines Group, Inc. Pass Through Certs., Series 2017-1, Class AA, 3.650%, 02/15/29 Baa1/NA     782       719,730
American Airlines Group, Inc. Pass Through Certs., Series 2017-2, Class AA, 3.350%, 10/15/29 Baa1/NA   1,158      1,027,474
American Airlines Group, Inc. Pass Through Certs., Series 2019-1, Class AA, 3.150%, 02/15/32 Baa1/A-     682       593,071
American Airlines, Inc., Sr. Sec. Notes, 5.500%, 04/20/26, 144A Ba2/NA     354        349,188
American Airlines, Inc., Sr. Sec. Notes, 5.750%, 04/20/29, 144A Ba2/NA     162       157,321
British Airways PLC Pass Through Certs., Series 2020-1, Class A, 4.250%, 11/15/32, 144A NA/A     103         94,033
Delta Air Lines, Inc., Sr. Sec. Notes, 4.500%, 10/20/25, 144A Baa1/NA     100        97,978
Delta Air Lines, Inc., Sr. Sec. Notes, 4.750%, 10/20/28, 144A Baa1/NA     209        202,749
JetBlue Airways Corp. Pass Through Certs., Series 2020-1, Class A, 4.000%, 11/15/32 A2/NA     898       817,799
United Airlines, Inc., Sr. Sec. Notes, 4.375%, 04/15/26, 144A(b) Ba1/BB      65         61,727
United Airlines, Inc., Sr. Sec. Notes, 4.625%, 04/15/29, 144A(b) Ba1/BB     318       289,759
United Airlines, Inc. Pass Through Certs., Series 2018-1, Class B, 4.600%, 03/01/26 Baa3/NA     527        494,294
United Airlines, Inc. Pass Through Certs., Series 2019-1, Class AA, 4.150%, 08/25/31 A2/NA     353       323,493
United Airlines, Inc. Pass Through Certs., Series 2019-2, Class AA, 2.700%, 05/01/32 A2/NA     939        786,069
United Airlines, Inc. Pass Through Certs., Series 2020-1, Class A, 5.875%, 10/15/27 A3/A+     229       226,525
            6,653,892
AUTO MANUFACTURERS (2.28%)          
Ford Holdings LLC, Co. Gty., 9.300%, 03/01/30 Ba2/BB+   1,000      1,122,500
Ford Motor Credit Co. LLC, Sr. Unsec. Notes, 3.370%, 11/17/23 Ba2/BB+     500       494,914
Ford Motor Credit Co. LLC, Sr. Unsec. Notes, 2.300%, 02/10/25(b) Ba2/BB+   1,199      1,120,943
General Motors Co., Sr. Unsec. Notes, 6.800%, 10/01/27(b) Baa2/BBB     405       420,550
General Motors Financial Co., Inc., Sr. Unsec. Notes, 3.600%, 06/21/30(b) Baa2/BBB   1,027        887,000
Stellantis Finance US, Inc., Co. Gty., 2.691%, 09/15/31, 144A(b) Baa2/BBB     221       176,531
            4,222,438
BANKS (13.47%)          
AIB Group PLC, Sr. Unsec. Notes, (3M LIBOR + 1.874%), 4.263%, 04/10/25, 144A(b),(c) A3/BBB     582        568,619
Bank of America Corp., Sr. Unsec. Notes, (SOFRRATE + 1.330%), 2.972%, 02/04/33(b),(c) A1/A-   2,655     2,212,217
Citigroup, Inc., Jr. Sub. Notes, (H15T5Y + 3.597%), 4.000%, 12/10/25(b),(c),(d) Ba1/BB+     635        542,131
Citigroup, Inc., Sr. Unsec. Notes, 8.125%, 07/15/39 A3/BBB+      70        89,241
Citigroup, Inc., Sr. Unsec. Notes, (SOFRRATE + 1.887%), 4.658%, 05/24/28(b),(c) A3/BBB+   1,302      1,269,215
Citigroup, Inc., Sr. Unsec. Notes, (TSFR3M + 1.600%), 3.980%, 03/20/30(b),(c) A3/BBB+     500       461,670
Citigroup, Inc., Sr. Unsec. Notes, (TSFR3M + 1.825%), 3.887%, 01/10/28(b),(c) A3/BBB+   1,100      1,042,168
Citigroup, Inc., Sub. Notes, 4.600%, 03/09/26 Baa2/BBB     988       956,165
Citigroup, Inc., Sub. Notes, 5.300%, 05/06/44 Baa2/BBB     926        854,712
Comerica, Inc., Sr. Unsec. Notes, 3.700%, 07/31/23(b) Baa1/BBB+     782       779,216
Credit Agricole SA, Sub. Notes, (USD 5 yr. Swap Semi 30/360 US + 1.644%), 4.000%, 01/10/33, 144A(b),(c) Baa1/BBB+   1,025        912,231
Credit Suisse AG, Sr. Unsec. Notes, (SOFRINDX + 1.260%), 6.349%, 02/21/25(e) A3+/A   1,250     1,219,352
Deutsche Bank AG, Sr. Unsec. Notes, (SOFRRATE + 3.180%), 6.720%, 01/18/29(b),(c) Baa1/BBB-     254        254,273
Deutsche Bank AG, Sub. Notes, (SOFRRATE + 3.650%), 7.079%, 02/10/34(b),(c) Baa3/BB+     316       292,196
Goldman Sachs Group, Inc., Sr. Unsec. Notes, (3M LIBOR + 1.750%), 7.023%, 10/28/27(b),(e) A2/BBB+     550        558,984
Goldman Sachs Group, Inc., Sr. Unsec. Notes, (SOFRRATE + 1.725%), 4.482%, 08/23/28(b),(c) A2/BBB+     703       679,334
HSBC Capital Funding Dollar 1 LP, Co. Gty., (3M LIBOR + 4.980%), 10.176%, 06/30/30, 144A(b),(c),(d) Baa3/BB+   2,180      2,690,414
HSBC USA, Inc., Sr. Unsec. Notes, 3.750%, 05/24/24 A1/A-   1,955     1,918,327
ING Groep NV, Sr. Unsec. Notes, (SOFRRATE + 1.640%), 3.869%, 03/28/26(b),(c) Baa1/A-     782        750,862
JPMorgan Chase & Co., Sr. Unsec. Notes, (SOFRRATE + 1.845%), 5.350%, 06/01/34(b),(c) A1/A-     400       402,995
The accompanying notes are an integral part of these financial statements.

SCHEDULE OF INVESTMENTS (Unaudited) — continued
  Moody's/
Standard &
Poor's
Rating(a)
  Principal
Amount (000's)
  Value
(Note1)
CORPORATE DEBT SECURITIES (Continued)          
BANKS (Continued)          
Morgan Stanley, Sub. Notes, 4.350%, 09/08/26 Baa1/BBB+   $1,500   $  1,448,179
PNC Financial Services Group, Inc., Jr. Sub. Notes, (TSFR3M + 3.562%), 5.000%, 11/01/26(b),(c),(d) Baa2/BBB-     757        650,787
Santander Holdings USA, Inc., Sr. Unsec. Notes, (SOFRRATE + 2.356%), 6.499%, 03/09/29(b),(c) Baa3/BBB+     134       132,575
Synchrony Bank, Sr. Unsec. Notes, 5.400%, 08/22/25(b) NA/BBB     305        291,588
Truist Financial Corp., Jr. Sub. Notes, (H15T5Y + 3.003%), 4.800%, 09/01/24(b),(c),(d) Baa2/BBB-   1,136       968,440
Truist Financial Corp., Sr. Unsec. Notes, (SOFRRATE + 2.361%), 5.867%, 06/08/34(b),(c) A3/A-     111        111,007
UBS Group AG, Sr. Unsec. Notes, (SOFRRATE + 1.560%), 2.593%, 09/11/25, 144A(b),(c) A3/A-   1,242     1,183,721
US Bancorp, Sr. Unsec. Notes, (SOFRRATE + 2.260%), 5.836%, 06/12/34(b),(c) A3/A     161        162,074
Wells Fargo & Co., Jr. Sub. Notes, (H15T5Y + 3.453%), 3.900%, 03/15/26(b),(c),(d) Baa2/BB+   1,162     1,023,025
Westpac Banking Corp., Sub. Notes, (H15T5Y + 1.750%), 2.668%, 11/15/35(b),(c) Baa1/BBB+     753       577,646
           25,003,364
BEVERAGES (0.59%)          
Anheuser-Busch Cos. LLC, Co. Gty., 4.700%, 02/01/36(b) A3/A-     645       627,066
Anheuser-Busch Cos. LLC, Co. Gty., 4.900%, 02/01/46(b) A3/A-     446        425,011
Anheuser-Busch InBev Worldwide, Inc., Co. Gty., 8.200%, 01/15/39 A3/A-      27        35,162
            1,087,239
BIOTECHNOLOGY (0.74%)          
Amgen, Inc., Sr. Unsec. Notes, 5.250%, 03/02/30(b) Baa1/BBB+     106        106,166
Amgen, Inc., Sr. Unsec. Notes, 5.650%, 03/02/53(b) Baa1/BBB+     255       257,630
Royalty Pharma PLC, Co. Gty., 2.200%, 09/02/30(b) Baa3/BBB-     930        747,311
Royalty Pharma PLC, Co. Gty., 2.150%, 09/02/31(b) Baa3/BBB-     326       255,451
            1,366,558
BUILDING MATERIALS (0.30%)          
Masonite International Corp., Co. Gty., 3.500%, 02/15/30, 144A(b) Ba2/BB+      53         44,520
Smyrna Ready Mix Concrete LLC, Sr. Sec. Notes, 6.000%, 11/01/28, 144A(b) Ba3/BB-     548       516,844
              561,364
CHEMICALS (2.76%)          
Alpek SAB de CV, Co. Gty., 3.250%, 02/25/31, 144A(b) Baa3/BBB-     418        337,786
Braskem Idesa SAPI, Sr. Sec. Notes, 7.450%, 11/15/29, 144A(b) NA/B+     273       181,258
Braskem Idesa SAPI, Sr. Sec. Notes, 6.990%, 02/20/32, 144A(b) NA/B+     528        341,998
Braskem Netherlands Finance BV, Co. Gty., 4.500%, 01/31/30, 144A NA/BBB-     523       449,339
Braskem Netherlands Finance BV, Co. Gty., 5.875%, 01/31/50, 144A NA/BBB-     457        369,190
Celanese US Holdings LLC, Co. Gty., 6.165%, 07/15/27(b) Baa3/BBB-     787       784,336
Orbia Advance Corp. SAB de CV, Co. Gty., 2.875%, 05/11/31, 144A(b) Baa3/BBB-     371        294,511
Union Carbide Corp., Sr. Unsec. Notes, 7.750%, 10/01/96 Baa1/BBB   2,000     2,355,155
            5,113,573
COMMERCIAL SERVICES (2.63%)          
Adani Ports & Special Economic Zone, Ltd., Sr. Unsec. Notes, 3.375%, 07/24/24, 144A Baa3/BBB-   1,061      1,013,166
Ashtead Capital, Inc., Co. Gty., 4.000%, 05/01/28, 144A(b) Baa3/BBB-     555       514,008
Ashtead Capital, Inc., Co. Gty., 4.250%, 11/01/29, 144A(b) Baa3/BBB-     200        181,439
ERAC USA Finance LLC, Co. Gty., 7.000%, 10/15/37, 144A Baa1/A-   1,500     1,712,936
Global Payments, Inc., Sr. Unsec. Notes, 3.200%, 08/15/29(b) Baa3/BBB-     650        565,673
Global Payments, Inc., Sr. Unsec. Notes, 5.400%, 08/15/32(b) Baa3/BBB-     274       266,906
Prime Security Services Borrower LLC, Sr. Sec. Notes, 3.375%, 08/31/27, 144A(b) Ba3/BB     559        493,099
Triton Container International, Ltd., Co. Gty., 3.150%, 06/15/31, 144A(b) NA/BBB-     167       127,877
            4,875,104
COMPUTERS (0.66%)          
Dell International LLC, Co. Gty., 3.450%, 12/15/51, 144A(b) Baa2/BBB     529        354,284
Dell International LLC, Sr. Unsec. Notes, 5.850%, 07/15/25(b) Baa2/BBB     342       343,192
Dell International LLC, Sr. Unsec. Notes, 8.350%, 07/15/46(b) Baa2/BBB     209        255,569
Kyndryl Holdings, Inc., Sr. Unsec. Notes, 2.050%, 10/15/26(b) Baa2/BBB-     326       281,202
            1,234,247
DIVERSIFIED FINANCIAL SERVICES (1.68%)          
AerCap Ireland Capital DAC, Co. Gty., 3.300%, 01/30/32(b) Baa2/BBB   1,122        918,821
Discover Financial Services, Sr. Unsec. Notes, 6.700%, 11/29/32(b) Baa2/BBB-     690       710,500
LSEGA Financing PLC, Co. Gty., 1.375%, 04/06/26, 144A(b) A3/A     612        545,474
LSEGA Financing PLC, Co. Gty., 2.500%, 04/06/31, 144A(b) A3/A     264       220,116
Nasdaq, Inc., Sr. Unsec. Notes, 5.350%, 06/28/28(b) Baa2/BBB      147        147,180
The accompanying notes are an integral part of these financial statements.

SCHEDULE OF INVESTMENTS (Unaudited) — continued
  Moody's/
Standard &
Poor's
Rating(a)
  Principal
Amount (000's)
  Value
(Note1)
CORPORATE DEBT SECURITIES (Continued)          
DIVERSIFIED FINANCIAL SERVICES (Continued)          
Nasdaq, Inc., Sr. Unsec. Notes, 5.950%, 08/15/53(b) Baa2/BBB   $   38   $     38,862
Synchrony Financial, Sr. Unsec. Notes, 2.875%, 10/28/31(b) NA/BBB-     747       542,386
            3,123,339
ELECTRIC (8.05%)          
AES Andes SA, Jr. Sub. Notes, (H15T5Y + 4.917%), 6.350%, 10/07/79, 144A(b),(c) Ba2/BB     878       800,306
AES Panama Generation Holdings Srl, Sr. Sec. Notes, 4.375%, 05/31/30, 144A(b) Baa3/NA     544        464,512
American Electric Power Co., Inc., Jr. Sub. Notes, 2.031%, 03/15/24 BBB-/BBB+   1,952     1,896,437
Berkshire Hathaway Energy Co., Sr. Unsec. Notes, 2.850%, 05/15/51(b) A3/A-   1,000        645,019
Black Hills Corp., Sr. Unsec. Notes, 3.875%, 10/15/49(b) Baa2/BBB+   1,175       866,707
CenterPoint Energy Houston Electric LLC, 5.300%, 04/01/53(b) A2/A      53         54,106
CMS Energy Corp., Jr. Sub. Notes, (H15T5Y + 2.900%), 3.750%, 12/01/50(b),(c) Baa3/BBB-     238       183,688
Consorcio Transmantaro SA, Sr. Unsec. Notes, 4.700%, 04/16/34, 144A Baa3/NA     200        185,138
Duke Energy Corp., Sr. Unsec. Notes, 5.000%, 08/15/52(b) Baa2/BBB     745       680,134
Edison International, Jr. Sub. Notes, (H15T5Y + 4.698%), 5.375%, 03/15/26(b),(c),(d) Ba1/BB+     638        557,548
EDP Finance BV, Co. Gty., 6.300%, 10/11/27, 144A Baa2/BBB     200       205,028
Electricite de France SA, Jr. Sub. Notes, (H15T5Y + 5.411%), 9.125%, 03/15/33, 144A(b),(c),(d) Ba2/NA     200        205,096
Enel Finance America LLC, Co. Gty., 7.100%, 10/14/27, 144A(b) Baa1/BBB+     200       210,075
Enel Finance International NV, Co. Gty., 7.500%, 10/14/32, 144A(b) Baa1/BBB+     200        221,662
Evergy Metro, Inc., Sr. Sec. Notes, 4.200%, 06/15/47(b) A2/A+     917       762,688
FirstEnergy Corp., Sr. Unsec. Notes, 5.100%, 07/15/47(b),(f) Ba1/BB+   1,570      1,408,329
Hydro-Quebec, 8.250%, 04/15/26 Aa2/AA-   1,550     1,676,592
Indiana Michigan Power Co., Sr. Unsec. Notes, 5.625%, 04/01/53(b) A3/A-      38         38,941
IPALCO Enterprises, Inc., Sr. Sec. Notes, 4.250%, 05/01/30(b) Baa3/BBB-     462       417,832
Jersey Central Power & Light Co., Sr. Unsec. Notes, 2.750%, 03/01/32, 144A(b) A3/BBB     323        266,253
Light Servicos de Eletricidade SA, Co. Gty., 4.375%, 06/18/26, 144A(b) NA/NA     456       182,435
MidAmerican Funding LLC, Sr. Sec. Notes, 6.927%, 03/01/29 A2/A-     500        529,101
New England Power Co., Sr. Unsec. Notes, 5.936%, 11/25/52, 144A(b) A3/BBB+     356       371,589
Pacific Gas and Electric Co., 2.100%, 08/01/27(b) Baa3/BBB-     391        333,895
Pacific Gas and Electric Co., 3.500%, 08/01/50(b) Baa3/BBB-     617       391,375
Puget Energy, Inc., Sr. Sec. Notes, 2.379%, 06/15/28(b) Baa3/BBB-     247        212,380
Transelec SA, Sr. Unsec. Notes, 4.250%, 01/14/25, 144A(b) Baa1/BBB     750       730,769
Transelec SA, Sr. Unsec. Notes, 3.875%, 01/12/29, 144A(b) Baa1/BBB     490       447,588
           14,945,223
ENGINEERING & CONSTRUCTION (0.21%)          
Sydney Airport Finance Co. Pty, Ltd., Sr. Sec. Notes, 3.375%, 04/30/25, 144A(b) Baa1/BBB+     400       382,870
 
ENTERTAINMENT (0.43%)          
Caesars Entertainment, Inc., Sr. Sec. Notes, 7.000%, 02/15/30, 144A(b) Ba3/B+     178        178,754
Caesars Entertainment, Inc., Sr. Unsec. Notes, 8.125%, 07/01/27, 144A(b) B3/B     188       192,339
Warnermedia Holdings, Inc., Co. Gty., 3.638%, 03/15/25 Baa3/BBB-     441       425,078
              796,171
FOOD (1.01%)          
Bimbo Bakeries USA, Inc., Co. Gty., 4.000%, 05/17/51, 144A(b) Baa1/BBB+     363       290,979
JBS USA LUX SA, Co. Gty., 3.625%, 01/15/32, 144A(b) Baa3/NA     211        171,214
Kraft Heinz Foods Co., Co. Gty., 5.500%, 06/01/50(b) Baa2/BBB     346       342,696
Kroger Co., Sr. Unsec. Notes, 5.400%, 01/15/49(b) Baa1/BBB      68         66,866
MARB BondCo PLC, Co. Gty., 3.950%, 01/29/31, 144A(b) NA/BB+     213       152,493
NBM US Holdings, Inc., Co. Gty., 7.000%, 05/14/26, 144A(b) NA/BB+     885       858,397
            1,882,645
FOREST PRODUCTS & PAPER (0.16%)          
Suzano Austria GmbH, Co. Gty., 3.750%, 01/15/31(b) NA/BBB-     351       299,575
 
GAS (1.96%)          
NiSource, Inc., Sr. Unsec. Notes, 5.250%, 03/30/28(b) Baa2/BBB+      51         50,958
NiSource, Inc., Sr. Unsec. Notes, 5.400%, 06/30/33(b) Baa2/BBB+     191       191,044
Piedmont Natural Gas Co., Inc., Sr. Unsec. Notes, 3.500%, 06/01/29(b) A3/BBB+   1,120      1,014,192
Southern Co. Gas Capital Corp., Co. Gty., 5.875%, 03/15/41(b) Baa1/BBB+     992       997,357
Southern Co. Gas Capital Corp., Co. Gty., 3.950%, 10/01/46(b) Baa1/BBB+     539        415,053
Southern Co. Gas Capital Corp., Co. Gty., 4.400%, 05/30/47(b) Baa1/BBB+   1,164       965,197
            3,633,801
The accompanying notes are an integral part of these financial statements.

SCHEDULE OF INVESTMENTS (Unaudited) — continued
  Moody's/
Standard &
Poor's
Rating(a)
  Principal
Amount (000's)
  Value
(Note1)
CORPORATE DEBT SECURITIES (Continued)          
HEALTHCARE-PRODUCTS (0.15%)          
STERIS Irish FinCo UnLtd Co., Co. Gty., 2.700%, 03/15/31(b) Baa2/BBB   $  329   $    274,187
 
HEALTHCARE-SERVICES (0.36%)          
CommonSpirit Health, Sr. Sec. Notes, 2.782%, 10/01/30(b) Baa1/A-     432        363,287
HCA, Inc., Co. Gty., 3.125%, 03/15/27, 144A(b) Baa3/BBB-     119       109,280
Tenet Healthcare Corp., Sr. Sec. Notes, 4.875%, 01/01/26(b) B1/BB-     201       195,760
              668,327
HOUSEWARES (0.07%)          
Newell Brands, Inc., Sr. Unsec. Notes, 6.625%, 09/15/29(b) Ba1/BB+     139       133,253
 
INSURANCE (7.25%)          
Allianz SE, Jr. Sub. Notes, (H15T5Y + 2.165%), 3.200%, 10/30/27, 144A(b),(c),(d) Baa1/A     200        147,520
Allianz SE, Jr. Sub. Notes, (H15T5Y + 2.973%), 3.500%, 11/17/25, 144A(b),(c),(d) Baa1/A     400       330,190
Allstate Corp., Jr. Sub. Notes, (3M LIBOR + 2.120%), 6.500%, 05/15/57(b),(c) Baa1/BBB   2,200      2,134,219
Farmers Exchange Capital, Sub. Notes, 7.200%, 07/15/48, 144A Baa3/BBB+   2,250     2,322,494
Guardian Life Insurance Co. of America, Sub. Notes, 4.850%, 01/24/77, 144A Aa3/AA-     148        122,876
Jackson National Life Global Funding, 1.750%, 01/12/25, 144A A2/A     656       608,799
Liberty Mutual Group, Inc., Co. Gty., 3.951%, 10/15/50, 144A(b) Baa2/BBB     250        182,580
Liberty Mutual Group, Inc., Co. Gty., (3M LIBOR + 7.120%), 10.750%, 06/15/58, 144A(b),(c) Baa3/BB+   1,000     1,299,480
Massachusetts Mutual Life Insurance Co., Sub. Notes, 3.729%, 10/15/70, 144A A2/AA-     243        164,914
Massachusetts Mutual Life Insurance Co., Sub. Notes, 4.900%, 04/01/77, 144A A2/AA-     980       832,599
MetLife, Inc., Jr. Sub. Notes, 6.400%, 12/15/36(b) Baa2/BBB     637        635,756
MetLife, Inc., Jr. Sub. Notes, 10.750%, 08/01/39(b) Baa2/BBB   1,000     1,290,699
MetLife, Inc., Jr. Sub. Notes, 9.250%, 04/08/38, 144A(b) Baa2/BBB   1,059      1,227,724
Nationwide Mutual Insurance Co., Sub. Notes, 8.250%, 12/01/31, 144A A3/A-     500       561,605
Nationwide Mutual Insurance Co., Sub. Notes, 9.375%, 08/15/39, 144A A3/A-     215        276,483
New York Life Insurance Co., Sub. Notes, 6.750%, 11/15/39, 144A Aa2/AA-     103       116,711
Prudential Financial, Inc., Jr. Sub. Notes, (3M LIBOR + 2.665%), 5.700%, 09/15/48(b),(c) Baa1/BBB+   1,241     1,197,925
           13,452,574
INTERNET (0.55%)          
Meta Platforms, Inc., Sr. Unsec. Notes, 4.450%, 08/15/52(b) A1/AA-     500       434,879
Netflix, Inc., Sr. Unsec. Notes, 5.875%, 11/15/28 Baa3/BBB     193        199,107
Prosus NV, Sr. Unsec. Notes, 4.987%, 01/19/52, 144A(b) Baa3/BBB     540       389,021
            1,023,007
LODGING (0.54%)          
Sands China, Ltd., Sr. Unsec. Notes, 3.350%, 03/08/29(b),(f) Baa2/BB+     200        166,680
Sands China, Ltd., Sr. Unsec. Notes, 4.875%, 06/18/30(b),(f) Baa2/BB+     260       231,441
Wynn Macau, Ltd., Sr. Unsec. Notes, 5.625%, 08/26/28, 144A(b) B2/B+     690       602,025
            1,000,146
MACHINERY-DIVERSIFIED (0.30%)          
TK Elevator US Newco, Inc., Sr. Sec. Notes, 5.250%, 07/15/27, 144A(b) B1/B+     600       554,418
 
MEDIA (6.22%)          
AMC Networks, Inc., Co. Gty., 4.250%, 02/15/29(b) Ba3/BB-     621        333,829
CCO Holdings LLC, Sr. Unsec. Notes, 4.500%, 05/01/32(b) B1/BB-   1,017       812,114
Charter Communications Operating LLC, Sr. Sec. Notes, 5.750%, 04/01/48(b) Ba1/BBB-     389        332,692
Comcast Corp., Co. Gty., 7.050%, 03/15/33 A3/A-   2,000     2,304,959
Cox Communications, Inc., Sr. Unsec. Notes, 6.800%, 08/01/28 Baa2/BBB   1,500      1,588,870
Cox Enterprises, Inc., Sr. Unsec. Notes, 7.375%, 07/15/27, 144A Baa2/BBB     500       522,078
CSC Holdings LLC, Co. Gty., 6.500%, 02/01/29, 144A(b) B1/B     698        564,120
CSC Holdings LLC, Sr. Unsec. Notes, 4.625%, 12/01/30, 144A(b) Caa1/CCC+   1,336       594,482
Grupo Televisa SAB, Sr. Unsec. Notes, 6.625%, 01/15/40 Baa2/BBB+     159        164,711
Paramount Global, Sr. Unsec. Notes, 4.200%, 05/19/32(b) Baa2/BBB-     641       536,878
Paramount Global, Sr. Unsec. Notes, 6.875%, 04/30/36 Baa2/BBB-     179        174,077
Time Warner Cable Enterprises LLC, Sr. Sec. Notes, 8.375%, 07/15/33 Ba1/BBB-   1,360     1,496,946
Virgin Media Finance PLC, Co. Gty., 5.000%, 07/15/30, 144A(b) B2/B     200        159,194
VTR Finance NV, Sr. Unsec. Notes, 6.375%, 07/15/28, 144A(b) Caa3/CCC-     443       166,111
Walt Disney Co., Co. Gty., 7.900%, 12/01/95 A2/A-   1,400     1,799,634
           11,550,695
The accompanying notes are an integral part of these financial statements.

SCHEDULE OF INVESTMENTS (Unaudited) — continued
  Moody's/
Standard &
Poor's
Rating(a)
  Principal
Amount (000's)
  Value
(Note1)
CORPORATE DEBT SECURITIES (Continued)          
MINING (0.31%)          
AngloGold Ashanti Holdings PLC, Co. Gty., 3.750%, 10/01/30(b) Baa3/BB+   $  339   $    290,891
Newcrest Finance Pty, Ltd., Co. Gty., 3.250%, 05/13/30, 144A(b) Baa2/BBB     319       281,227
              572,118
OIL & GAS (3.64%)          
Aker BP ASA, Co. Gty., 3.100%, 07/15/31, 144A(b) Baa2/BBB     426       352,353
BP Capital Markets PLC, Co. Gty., (H15T5Y + 4.036%), 4.375%, 06/22/25(b),(c),(d) Baa1/BBB     675        647,494
CITGO Petroleum Corp., Sr. Sec. Notes, 7.000%, 06/15/25, 144A(b) B3/B+     248       243,350
CVR Energy, Inc., Co. Gty., 5.250%, 02/15/25, 144A(b) B1/B+     387        373,122
Ecopetrol SA, Sr. Unsec. Notes, 8.625%, 01/19/29(b) Baa3/BB+     232       232,534
Endeavor Energy Resources LP, Sr. Unsec. Notes, 5.750%, 01/30/28, 144A(b) Ba2/BB+     473        462,679
Exxon Mobil Corp., Sr. Unsec. Notes, 4.227%, 03/19/40(b) Aa2/AA-   1,402     1,289,944
Parkland Corp., Co. Gty., 4.500%, 10/01/29, 144A(b) Ba3/BB     667        577,690
Petroleos Mexicanos, Co. Gty., 5.950%, 01/28/31(b) B1/BBB     552       403,203
Petroleos Mexicanos, Co. Gty., 6.950%, 01/28/60(b) B1/BBB     195        121,598
Saudi Arabian Oil Co., Sr. Unsec. Notes, 2.250%, 11/24/30, 144A(b) A1/NA     853       708,843
Valero Energy Corp., Sr. Unsec. Notes, 8.750%, 06/15/30 Baa2/BBB   1,000      1,179,544
Valero Energy Corp., Sr. Unsec. Notes, 4.000%, 06/01/52(b) Baa2/BBB     215       161,778
            6,754,132
OIL & GAS SERVICES (0.16%)          
Baker Hughes Holdings LLC, Sr. Unsec. Notes, 2.061%, 12/15/26(b) A3/A-     326       293,568
 
PACKAGING & CONTAINERS (0.43%)          
Ardagh Metal Packaging Finance USA LLC, Sr. Unsec. Notes, 4.000%, 09/01/29, 144A(b) Caa1/B+     200       158,394
LABL, Inc., Sr. Sec. Notes, 5.875%, 11/01/28, 144A(b) B2/B-     173        157,323
Sealed Air Corp, Co. Gty., 6.125%, 02/01/28, 144A(b) Ba2/BB+      28        27,792
Sealed Air Corp., Sr. Sec. Notes, 1.573%, 10/15/26, 144A(b) Baa2/BBB-     524       455,695
              799,204
PHARMACEUTICALS (1.14%)          
AbbVie, Inc., Sr. Unsec. Notes, 4.050%, 11/21/39(b) Baa1/BBB+     615       534,310
CVS Health Corp., Sr. Unsec. Notes, 5.875%, 06/01/53(b) Baa2/BBB     151        154,884
Organon & Co, Sr. Sec. Notes, 4.125%, 04/30/28, 144A(b) Ba2/BB     200       177,504
Pfizer Investment Enterprises Pte, Ltd., Co. Gty., 5.300%, 05/19/53(b) A1/A+     265        275,403
Takeda Pharmaceutical Co., Ltd., Sr. Unsec. Notes, 5.000%, 11/26/28(b) Baa1/BBB+     500       496,919
Takeda Pharmaceutical Co., Ltd., Sr. Unsec. Notes, 3.175%, 07/09/50(b) Baa1/BBB+     684       481,049
            2,120,069
PIPELINES (7.14%)          
Cheniere Energy Partners LP, Co. Gty., 3.250%, 01/31/32(b) Ba1/BBB-      91        74,859
Cheniere Energy Partners LP, Co. Gty., 5.950%, 06/30/33, 144A(b) Ba1/BBB-      92         92,386
Crestwood Midstream Partners LP, Co. Gty., 7.375%, 02/01/31, 144A(b) Ba3/BB      36        35,483
DT Midstream, Inc., Sr. Sec. Notes, 4.300%, 04/15/32, 144A(b) Baa2/BBB-     432        373,886
EIG Pearl Holdings Sarl, Sr. Sec. Notes, 4.387%, 11/30/46, 144A A1/NA     700       547,820
Enbridge, Inc., Sub. Notes, (3M LIBOR + 3.890%), 6.000%, 01/15/77(b),(c) Baa3/BBB-     750        695,680
Energy Transfer LP, Jr. Sub. Notes, (H15T5Y + 5.306%), 7.125%, 05/15/30(b),(c),(d) Ba2/BB     160       135,667
Energy Transfer LP, Sr. Unsec. Notes, 3.750%, 05/15/30(b) Baa3/BBB-     398        358,978
Enterprise Products Operating LLC, Co. Gty., (TSFR3M + 2.832%), 5.375%, 02/15/78(b),(c) Baa2/BBB     342       282,926
Florida Gas Transmission Co. LLC, Sr. Unsec. Notes, 9.190%, 11/01/24, 144A Baa2/BBB+      20         20,214
Global Partners LP, Co. Gty., 7.000%, 08/01/27(b) B2/B+   1,076     1,044,076
Howard Midstream Energy Partners LLC, Sr. Unsec. Notes, 6.750%, 01/15/27, 144A(b) B3/B+     110        104,775
Howard Midstream Energy Partners LLC, Sr. Unsec. Notes, 8.875%, 07/15/28, 144A(b) B3/B+     203       204,269
Kinder Morgan, Inc., Co. Gty., 8.050%, 10/15/30 Baa2/BBB   1,000      1,112,313
Kinder Morgan, Inc., Co. Gty., 5.550%, 06/01/45(b) Baa2/BBB   1,755     1,613,562
MPLX LP, Sr. Unsec. Notes, 4.250%, 12/01/27(b) Baa2/BBB     901        855,413
MPLX LP, Sr. Unsec. Notes, 5.500%, 02/15/49(b) Baa2/BBB     694       627,856
MPLX LP, Sr. Unsec. Notes, 4.900%, 04/15/58(b) Baa2/BBB     561        451,351
NGPL PipeCo LLC, Sr. Unsec. Notes, 7.768%, 12/15/37, 144A Baa3/BBB-     880       937,618
ONEOK, Inc., Co. Gty., 6.100%, 11/15/32(b) Baa2/BBB     177        179,996
Panhandle Eastern Pipe Line Co. LP, Sr. Unsec. Notes, 7.000%, 07/15/29 Baa3/BBB-   1,000     1,025,399
Targa Resources Partners LP, Co. Gty., 5.500%, 03/01/30(b) Baa3/BBB-   1,177      1,132,710
Transcontinental Gas Pipe Line Co. LLC, Sr. Unsec. Notes, 3.950%, 05/15/50(b) Baa1/BBB     384       295,678
Western Midstream Operating LP, Sr. Unsec. Notes, 6.150%, 04/01/33(b) Baa3/BBB-      53         53,143
Williams Cos., Inc., Sr. Unsec. Notes, 7.500%, 01/15/31 Baa2/BBB     911       999,936
           13,255,994
The accompanying notes are an integral part of these financial statements.

SCHEDULE OF INVESTMENTS (Unaudited) — continued
  Moody's/
Standard &
Poor's
Rating(a)
  Principal
Amount (000's)
  Value
(Note1)
CORPORATE DEBT SECURITIES (Continued)          
REITS (2.79%)          
Boston Properties LP, Sr. Unsec. Notes, 3.800%, 02/01/24(b) Baa1/BBB+   $  288   $    281,803
Brixmor Operating Partnership LP, Sr. Unsec. Notes, 3.850%, 02/01/25(b) Baa3/BBB-     161        153,977
EPR Properties, Sr. Unsec. Notes, 3.600%, 11/15/31(b) Baa3/BBB-     533       415,698
Extra Space Storage LP, Co. Gty., 5.700%, 04/01/28(b) Baa2/BBB     129        128,835
Extra Space Storage LP, Co. Gty., 3.900%, 04/01/29(b) Baa2/BBB     371       337,807
Extra Space Storage LP, Co. Gty., 2.350%, 03/15/32(b) Baa2/BBB     267        208,555
GLP Capital LP, Co. Gty., 3.250%, 01/15/32(b) Ba1/BBB-     154       124,204
Iron Mountain, Inc., Co. Gty., 5.000%, 07/15/28, 144A(b) Ba3/BB-      59         54,662
Iron Mountain, Inc., Co. Gty., 7.000%, 02/15/29, 144A(b) Ba3/BB-     370       370,697
Rexford Industrial Realty LP, Co. Gty., 2.150%, 09/01/31(b) Baa2/BBB+     360        280,561
SBA Tower Trust, 2.593%, 10/15/31, 144A(b) A2/NA     454       359,460
Scentre Group Trust 2, Co. Gty., (H15T5Y + 4.379%), 4.750%, 09/24/80, 144A(b),(c) Baa1/BBB+   2,007      1,796,767
Simon Property Group LP, Sr. Unsec. Notes, 5.850%, 03/08/53(b) A3/A-     271       268,726
VICI Properties LP, Co. Gty., 3.500%, 02/15/25, 144A(b) Ba1/BBB-     385        367,873
WEA Finance LLC, Co. Gty., 4.625%, 09/20/48, 144A(b) Baa2/BBB+      36        24,733
            5,174,358
RETAIL (0.63%)          
Macy's Retail Holdings LLC, Co. Gty., 5.875%, 03/15/30, 144A(b) Ba2/BB+     314        279,808
Murphy Oil USA, Inc., Co. Gty., 3.750%, 02/15/31, 144A(b) Ba2/BB+     119        99,746
Starbucks Corp., Sr. Unsec. Notes, 4.450%, 08/15/49(b) Baa1/BBB+     891       785,668
            1,165,222
SEMICONDUCTORS (1.40%)          
Broadcom, Inc., Co. Gty., 3.750%, 02/15/51, 144A(b) Baa3/BBB-     166       122,066
Broadcom, Inc., Sr. Unsec. Notes, 3.469%, 04/15/34, 144A(b) Baa3/BBB-   1,655      1,356,891
Broadcom, Inc., Sr. Unsec. Notes, 3.187%, 11/15/36, 144A(b) Baa3/BBB-   1,109       837,548
Intel Corp., Sr. Unsec. Notes, 5.200%, 02/10/33(b) A2/A      92         92,820
Intel Corp., Sr. Unsec. Notes, 5.700%, 02/10/53(b) A2/A      61        62,059
Micron Technology, Inc., Sr. Unsec. Notes, 2.703%, 04/15/32(b) Baa3/BBB-     164       129,232
            2,600,616
SOFTWARE (1.70%)          
Fiserv, Inc., Sr. Unsec. Notes, 5.600%, 03/02/33(b) Baa2/BBB     121       123,109
Oracle Corp., Sr. Unsec. Notes, 2.300%, 03/25/28(b) Baa2/BBB   1,130        996,834
Oracle Corp., Sr. Unsec. Notes, 3.650%, 03/25/41(b) Baa2/BBB   1,745     1,341,933
Oracle Corp., Sr. Unsec. Notes, 5.550%, 02/06/53(b) Baa2/BBB      80         77,378
VMware, Inc., Sr. Unsec. Notes, 2.200%, 08/15/31(b) Baa3/BBB-     788       619,074
            3,158,328
TELECOMMUNICATIONS (3.21%)          
AT&T, Inc., Sr. Unsec. Notes, 4.500%, 05/15/35(b) Baa2/BBB     515        473,216
AT&T, Inc., Sr. Unsec. Notes, 4.750%, 05/15/46(b) Baa2/BBB     425       374,774
AT&T, Inc., Sr. Unsec. Notes, 3.550%, 09/15/55(b) Baa2/BBB   2,195      1,534,541
Deutsche Telekom International Finance BV, Co. Gty., 8.750%, 06/15/30(f) Baa1/BBB+   2,000     2,393,820
Frontier Communications Holdings LLC, Sr. Sec. Notes, 5.000%, 05/01/28, 144A(b) B3/B     255        220,003
T-Mobile USA, Inc., Co. Gty., 4.950%, 03/15/28(b) Baa2/BBB      83        81,672
Verizon Communications, Inc., Sr. Unsec. Notes, 2.550%, 03/21/31(b) Baa1/BBB+     457        381,276
Verizon Communications, Inc., Sr. Unsec. Notes, 3.550%, 03/22/51(b) Baa1/BBB+     674       500,951
            5,960,253
TRANSPORTATION (0.72%)          
BNSF Funding Trust I, Co. Gty., (3M LIBOR + 2.350%), 6.613%, 12/15/55(b),(c) Baa2/A     250        241,222
Ryder System, Inc., Sr. Unsec. Notes, 5.250%, 06/01/28(b) Baa2/BBB+     273       269,334
Simpar Europe SA, Co. Gty., 5.200%, 01/26/31, 144A(b) NA/BB-     544        431,945
Union Pacific Corp., Sr. Unsec. Notes, 3.839%, 03/20/60(b) A3/A-     503       397,617
            1,340,118
TOTAL CORPORATE DEBT SECURITIES (Cost of $164,847,010)         152,395,592
 
ASSET-BACKED SECURITIES (12.34%)          
Aligned Data Centers Issuer LLC, Series 2021-1A, Class A2, 1.937%, 08/15/46, 144A(b) NA/A-     904        790,176
Amur Equipment Finance Receivables XI LLC, Series 2022-2A, Class A2, 5.300%, 06/21/28, 144A(b) Aaa/NA      91        90,474
Antares CLO, Ltd., Series 2017-1A, Class CR, (3M LIBOR + 2.700%), 7.950%, 04/20/33, 144A(b),(e) NA/A   1,092      1,025,664
Apidos CLO XXXIX, Ltd., Series 2022-39A, Class A1, (TSFR3M + 1.300%), 6.356%, 04/21/35, 144A(b),(e) Aaa/AA+     950       930,697
Avis Budget Rental Car Funding AESOP LLC, Series 2020-1A, Class A, 2.330%, 08/20/26, 144A(b) Aaa/NA     255        237,073
Blackbird Capital Aircraft, Series 2021-1A, Class B, 3.446%, 07/15/46, 144A(b) Baa1/NA     332       273,996
The accompanying notes are an integral part of these financial statements.

SCHEDULE OF INVESTMENTS (Unaudited) — continued
  Moody's/
Standard &
Poor's
Rating(a)
  Principal
Amount (000's)
  Value
(Note1)
ASSET-BACKED SECURITIES (Continued)          
Cerberus Loan Funding XXXVII LP, Series 2022-1A, Class A1, (TSFR3M + 1.780%), 6.766%, 04/15/34, 144A(b),(e) Aaa/NA   $1,500   $  1,467,900
CF Hippolyta Issuer LLC, Series 2020-1, Class A1, 1.690%, 07/15/60, 144A(b) NA/AA-     612       548,757
DataBank Issuer, Series 2021-2A, Class A2, 2.400%, 10/25/51, 144A(b) NA/NA     583        502,711
DB Master Finance LLC, Series 2021-1A, Class A2I, 2.045%, 11/20/51, 144A(b) NA/BBB     599       521,221
Domino's Pizza Master Issuer LLC, Series 2021-1A, Class A2I, 2.662%, 04/25/51, 144A(b) NA/BBB+     541        458,595
Eaton Vance CLO, Ltd., Series 2020-1A, Class AR, (3M LIBOR + 1.170%), 6.430%, 10/15/34, 144A(b),(e) NA/AAA   1,500     1,465,572
Flexential Issuer, Series 2021-1A, Class A2, 3.250%, 11/27/51, 144A(b) NA/NA     555        483,835
Ford Credit Auto Owner Trust, Series 2022-C, Class B, 5.030%, 02/15/28(b) Aaa/AA+     565       555,767
Fortress Credit Opportunities IX CLO, Ltd., Series 2017-9A, Class A1TR, (3M LIBOR + 1.550%), 6.810%, 10/15/33, 144A(b),(e) NA/AAA     600        583,254
Golub Capital Partners CLO 36m, Ltd., Series 2018-36A, Class C, (3M LIBOR + 2.100%), 7.426%, 02/05/31, 144A(b),(e) NA/A   2,250     2,115,499
ITE Rail Fund Levered LP, Series 2021-1A, Class A, 2.250%, 02/28/51, 144A(b) NA/A     181        153,844
IVY Hill Middle Market Credit Fund XII, Ltd., Series 12A, Class BR, (3M LIBOR + 2.900%), 8.150%, 07/20/33, 144A(b),(e) NA/A-     866       812,418
Marlette Funding Trust, Series 2022-3A, Class A, 5.180%, 11/15/32, 144A(b) NA/NA      66         65,858
MCF CLO IX, Ltd., Series 2019-1A, Class A1R, (TSFR3M + 1.500%), 6.486%, 07/17/31, 144A(b),(e) NA/AAA     556       549,558
MF1, Ltd., Series 2021-FL7, Class AS, (1M LIBOR + 1.450%), 6.607%, 10/16/36, 144A(b),(e) NA/NA     923        889,536
MF1, Ltd., Series 2022-FL8, Class C, (Secured Overnight Financing Rate 30 Day Average + 2.200%), 7.267%, 02/19/37, 144A(b),(e) NA/NA     448       428,014
Navient Private Education Refi Loan Trust, Series 2021-A, Class A, 0.840%, 05/15/69, 144A(b) NA/AAA      96         83,617
Neuberger Berman Loan Advisers CLO 47, Ltd., Series 2022-47A, Class A, (TSFR3M + 1.300%), 6.290%, 04/14/35, 144A(b),(e) Aaa/NA     937       916,673
New Economy Assets Phase 1 Sponsor LLC, Series 2021-1, Class A1, 1.910%, 10/20/61, 144A(b) NA/AA-   1,063        905,047
PMT Issuer Trust - FMSR, Series 2021-FT1, Class A, (1M LIBOR + 3.000%), 8.150%, 03/25/26, 144A(b),(e) NA/NA     566       546,311
Purewest Funding LLC, Series 2021-1, Class A1, 4.091%, 12/22/36, 144A(b) NA/NA     179        168,541
Santander Drive Auto Receivables Trust, Series 2022-5, Class C, 4.740%, 10/16/28(b) Aa1/A     352       340,790
SFS Auto Receivables Securitization Trust, Series 2023-1A, Class A2A, 5.890%, 03/22/27, 144A(b) Aaa/AAA     213        212,717
Slam, Ltd., Series 2021-1A, Class A, 2.434%, 06/15/46, 144A(b) A1/NA   1,177     1,009,312
SMB Private Education Loan Trust, Series 2017-B, Class A2B, (1M LIBOR + 0.750%), 5.943%, 10/15/35, 144A(b),(e) Aaa/AAA     255        252,323
Sofi Professional Loan Program LLC, Series 2017-C, Class B, 3.560%, 07/25/40, 144A(b),(e) NA/AA+   1,099     1,028,842
Textainer Marine Containers VII, Ltd., Series 2021-1A, Class A, 1.680%, 02/20/46, 144A(b) NA/A     838        705,909
TIF Funding II LLC, Series 2021-1A, Class A, 1.650%, 02/20/46, 144A(b) NA/A     443       365,953
United States Small Business Administration, Series 2010-20F, Class 1, 3.880%, 06/01/30 Aaa/AA+      33         31,477
Willis Engine Structured Trust IV, Series 2018-A, Class A, 4.750%, 09/15/43, 144A(b),(g) NA/A   1,060       879,017
Willis Engine Structured Trust VI, Series 2021-A, Class A, 3.104%, 05/15/46, 144A(b) NA/NA     625       495,599
TOTAL ASSET-BACKED SECURITIES (Cost of $24,852,107)          22,892,547
 
COMMERCIAL MORTGAGE-BACKED SECURITIES (0.57%)          
BXHPP Trust, Series 2021-FILM, Class C, (1M LIBOR + 1.100%), 6.293%, 08/15/36, 144A(e) NA/NA     167        149,124
New Residential Mortgage Loan Trust, Series 2021-NQ2R, Class A1, 0.941%, 10/25/58, 144A(b),(e) NA/NA     189       166,940
New Residential Mortgage Loan Trust, Series 2022-NQM1, Class A1, 2.277%, 04/25/61, 144A(b),(e) NA/NA     902       747,798
TOTAL COMMERCIAL MORTGAGE-BACKED SECURITIES (Cost of $1,257,723)           1,063,862
 
RESIDENTIAL MORTGAGE-BACKED SECURITIES (0.11%)          
FHLMC Pool #A15675, 6.000%, 11/01/33 Aaa/AA+      30         30,295
FNMA Pool #754791, 6.500%, 12/01/33 Aaa/AA+     112       115,100
FNMA Pool #763852, 5.500%, 02/01/34 Aaa/AA+      51         51,269
GNSF Pool #417239, 7.000%, 02/15/26 Aaa/AA+       1         1,024
GNSF Pool #780374, 7.500%, 12/15/23(h) Aaa/AA+       0             6
TOTAL RESIDENTIAL MORTGAGE-BACKED SECURITIES (Cost of $185,750)             197,694
 
MUNICIPAL BONDS (1.27%)          
City of San Francisco CA Public Utilities Commission Water Revenue, Build America Bonds, 6.000%, 11/01/40 Aa2/AA-     145        155,493
State of California, Build America Bonds, GO, 7.625%, 03/01/40 Aa2/AA-   1,500     1,885,483
University of Michigan, 3.599%, 04/01/47 Aaa/AAA     365       317,624
TOTAL MUNICIPAL BONDS (Cost of $2,040,775)           2,358,600
 
U.S. TREASURY OBLIGATIONS (1.32%)          
United States Treasury Bonds, 3.875%, 02/15/43 Aaa/AA+     806        784,951
United States Treasury Bonds, 1.375%, 08/15/50 Aaa/AA+     251       145,551
United States Treasury Bonds, 3.625%, 02/15/53 Aaa/AA+     680        651,238
United States Treasury Notes, 0.125%, 08/15/23 Aaa/AA+     150       149,091
The accompanying notes are an integral part of these financial statements.

SCHEDULE OF INVESTMENTS (Unaudited) — continued
  Moody's/
Standard &
Poor's
Rating(a)
  Principal
Amount (000's)
  Value
(Note1)
U.S. TREASURY OBLIGATIONS (Continued)          
United States Treasury Notes, 3.625%, 05/31/28 Aaa/AA+   $  257   $    251,102
United States Treasury Notes, 3.500%, 04/30/30 Aaa/AA+     490       475,606
TOTAL U.S. TREASURY OBLIGATIONS (Cost of $2,503,120)           2,457,539
 
GOVERNMENT BONDS (0.64%)          
Hungary Government International Bond, Sr. Unsec. Notes, 6.750%, 09/25/52, 144A Baa2/BBB-     200       206,090
Korea National Oil Corp., Sr. Unsec. Notes, 1.750%, 04/18/25, 144A Aa2/AA     208        194,309
Saudi Government International Bond, Sr. Unsec. Notes, 5.500%, 10/25/32, 144A A1/NA     631       661,995
Ukraine Government International Bond, Sr. Unsec. Notes, 7.253%, 03/15/35, 144A NA/CCC     551       126,730
TOTAL GOVERNMENT BONDS (Cost of $1,581,347)           1,189,124
TOTAL INVESTMENTS (98.37%)
(Cost of $197,267,832)
        182,554,958
OTHER ASSETS AND LIABILITIES (1.63%)           3,024,046
NET ASSETS (100.00%)         $185,579,004
At June 30, 2023, the Fund had the following open futures contracts:
Long Futures Outstanding Expiration
Month
Number of
Contracts
Notional
Amount
Value Unrealized
Appreciation
(Depreciation)
U.S. Treasury 2-Year Notes

09/23 53 $10,930,813 $10,777,219 $(153,594)
U.S. Treasury 5-Year Notes

09/23 30 3,246,109 3,212,812 (33,297)
U.S. Treasury Long Bonds

09/23 32 4,067,803 4,061,000 (6,803)
U.S. Treasury Ultra Bonds

09/23 71 9,592,813 9,671,531 78,718
          (114,976)
Short Futures Outstanding          
U.S. Treasury 10-Year Notes

09/23 33 (3,766,080) (3,704,766) 61,314
U.S. Treasury Ultra 10-Year Notes

09/23 25 (2,991,725) (2,960,937) 30,788
          92,102
Net unrealized depreciation on open futures contracts         $(22,874)

(a) Ratings for debt securities are unaudited. All ratings are as of June 30, 2023 and may have changed subsequently.
(b) This security is callable.
(c) Fixed to floating rate security. Fixed rate indicated is rate effective at June 30, 2023. Security will convert at a future date to a floating rate of reference rate and spread in the description above.
(d) Security is perpetual. Date shown is next call date.
(e) Variable rate security. Rate indicated is rate effective at June 30, 2023.
(f) Multi-Step Coupon. Rate disclosed is as of June 30, 2023.
(g) Denotes a step-up bond. The rate indicated is the current coupon as of June 30, 2023.
(h) Principal amount less than $1,000.
144A Securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may not be resold subject to that rule except to qualified institutional buyers. At June 30, 2023, these securities amounted to $70,549,112 or 38.02% of net assets.
Legend
Certs. – Certificates
CLO – Collateralized Loan Obligation
Co. Gty. – Company Guaranty
FHLMC – Federal Home Loan Mortgage Corporation
FNMA – Federal National Mortgage Association
GNSF – Government National Mortgage Association (Single Family)
GO – Government Obligation
H15T5Y – US Treasury Yield Curve Rate T Note Constant Maturity 5 Year
Jr. – Junior
LIBOR – London Interbank Offered Rate
LLC – Limited Liability Company
LP – Limited Partnership
Ltd. – Limited
PLC – Public Limited Company
REIT – Real Estate Investment Trust
Sec. – Secured
The accompanying notes are an integral part of these financial statements.

SCHEDULE OF INVESTMENTS (Unaudited) — continued
SOFRRATE – Secured Overnight Financing Rate
Sr. – Senior
Sub. – Subordinated
SW5 – 5-year USD Swap Semiannual 30/360
TSFR3M – 3-month Term Secured Overnight Financing Rate
Unsec. – Unsecured
The accompanying notes are an integral part of these financial statements.

INSIGHT SELECT INCOME FUND
Notes to the Quarterly Schedule of Investments
June 30, 2023
(unaudited)
A. Security Valuation – In valuing the Fund's net assets, all securities for which representative market quotations are available will be valued at the last quoted sales price on the security’s principal exchange on the day of valuation. If there are no sales of the relevant security on such day, the security will be valued at the bid price at the time of computation. For securities traded in the over-the-counter market, including listed debt and preferred securities, whose primary market is believed to be over-the-counter, the Fund uses recognized industry pricing services which are unaffiliated with Insight North America LLC (‘‘INA’’ or the ‘‘Adviser’’) - and uses broker quotes provided by market makers of securities not valued by these and other recognized pricing sources.
In the event that market quotations are not readily available, or when such quotations are deemed not to reflect current market value, the securities will be valued at their respective fair value as determined in good faith by the Adviser pursuant to certain procedures and reporting requirements established by the Board of Trustees. The Adviser considers all relevant facts that are reasonably available when determining the fair value of a security, including but not limited to the last sale price or initial purchase price (if a when-issued security) and subsequently adjusting the value based on changes in company specific fundamentals, changes in an appropriate securities index, or changes in the value of similar securities which may be further adjusted for any discounts related to security-specific resale restrictions. When possible, observable market inputs such as unadjusted quoted prices of similar securities, observable interest rates, currency rates and yield curves are utilized. At June 30, 2023, there were no securities valued using fair value procedures.
Fair Value Measurements – The Fund has adopted authoritative fair value accounting standards which establish a definition of fair value and set out a hierarchy for measuring fair value. These standards require additional disclosures about the various inputs and valuation techniques used to develop the measurements of fair value, a discussion in changes in valuation techniques and related inputs during the period and expanded disclosure of valuation levels for major security types. These inputs are summarized in the three broad levels listed below:
•     Level 1 – Unadjusted quoted prices in active markets for identical assets or liabilities that the Fund has the ability to access.
•     Level 2 – Observable inputs other than quoted prices included in level 1 that are observable for the asset or liability, either directly or indirectly. These inputs may include quoted prices for the identical instrument on an inactive market, prices for similar instruments, interest rates, prepayment speeds, credit risk, yield curves, default rates and similar data.
•     Level 3 – Unobservable inputs for the asset or liability, to the extent relevant observable inputs are not available, representing the Fund’s own assumptions about the assumptions a market participant would use in valuing the asset or liability, and would be based on the best information available.
Following is a description of the valuation techniques applied to the Fund’s major categories of assets measured at fair value on a recurring basis as of June 30, 2023.
Assets: Total Market
Value at
06/30/23
Level 1
Quoted
Price
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
LONG-TERM INVESTMENTS        
CORPORATE DEBT SECURITIES $152,395,592 $$152,395,592 $—
MUNICIPAL BONDS 2,358,600 2,358,600
ASSET-BACKED SECURITIES 22,892,547 22,892,547
GOVERNMENT BONDS 1,189,124 1,189,124
U.S. TREASURY OBLIGATIONS 2,457,539 2,457,539

INSIGHT SELECT INCOME FUND
Notes to the Quarterly Schedule of Investments
June 30, 2023 (concluded)
(unaudited)
Assets: Total Market
Value at
06/30/23
Level 1
Quoted
Price
Level 2
Significant
Observable
Inputs
Level 3
Significant
Unobservable
Inputs
RESIDENTIAL MORTGAGE-BACKED SECURITIES $197,694 $$197,694 $—
COMMERCIAL MORTGAGE-BACKED SECURITIES 1,063,862 1,063,862
DERIVATIVES        
SHORT FUTURES 92,102 92,102
LONG FUTURES 78,718 78,718
TOTAL ASSETS $182,725,778 $170,820 $182,554,958 $—
Liabilities:        
FUTURES CONTRACTS $193,694 $193,694 $$—
At the end of each calendar quarter, management evaluates the Level 1, 2 and 3 assets and liabilities for changes in liquidity, including but not limited to: whether a broker is willing to execute at the quoted price, the depth and consistency of prices from third party services, and the existence of contemporaneous, observable trades in the market. Additionally, management evaluates Level 1 and 2 assets and liabilities on a quarterly basis for changes in listings or delistings on national exchanges. Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair value of the Fund’s investments may fluctuate from period to period. Additionally, the fair value of investments may differ significantly from the values that would have been used had a ready market existed for such investments and may differ materially from the values the Fund may ultimately realize. Further, such investments may be subject to legal and other restrictions on resale or otherwise less liquid than publicly traded securities. Pursuant to Fund policy, transfers between levels are considered to have occurred at the beginning of the reporting period. As of June 30, 2023, there were no transfers between Level 1, Level 2 and Level 3 for the Fund.
Level 3 investments are categorized as Level 3 with values derived utilizing prices from prior transactions or third party pricing information without adjustment (broker quotes, pricing services and net asset values). A significant change in third party pricing information could result in a significantly lower or higher value in such Level 3 investments. As of June 30, 2023, the Fund did not hold any Level 3 securities.
For more information with regards to significant accounting policies, see the most recent semi or annual report filed with the Securities and Exchange Commission.

Insight Select Income (NYSE:INSI)
과거 데이터 주식 차트
부터 4월(4) 2024 으로 5월(5) 2024 Insight Select Income 차트를 더 보려면 여기를 클릭.
Insight Select Income (NYSE:INSI)
과거 데이터 주식 차트
부터 5월(5) 2023 으로 5월(5) 2024 Insight Select Income 차트를 더 보려면 여기를 클릭.