N-CSRS 1 charlottefundsfinal.htm VANGUARD CHARLOTTE FUNDS charlottefundsfinal.htm - Generated by SEC Publisher for SEC Filing

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549

FORM N-CSR

CERTIFIED SHAREHOLDER REPORT
OF
REGISTERED MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number: 811-22619

Name of Registrant: Vanguard Charlotte Funds

Address of Registrant:
P.O. Box 2600
Valley Forge, PA 19482

Name and address of agent for service:
Anne E. Robinson, Esquire
P.O. Box 876
Valley Forge, PA 19482

Registrant’s telephone number, including area code: (610) 669-1000

Date of fiscal year end: October 31

Date of reporting period: October 31, 2016 – April 30, 2017

Item 1: Reports to Shareholders



Semiannual Report | April 30, 2017

Vanguard Total International Bond

Index Fund


 

A new format, unwavering commitment

As you begin reading this report, you’ll notice that we’ve made some improvements to the opening sections—based on feedback from you, our clients.

Page 1 starts with a new ”Your Fund’s Performance at a Glance,” a concise, handy summary of how your fund performed during the period.

In the renamed ”Chairman’s Perspective,” Bill McNabb will focus on enduring principles and investment insights.

We’ve modified some tables, and eliminated some redundancy, but we haven’t removed any information.

At Vanguard, we’re always looking for better ways to communicate and to help you make sound investment decisions. Thank you for entrusting your assets to us.

Contents  
Your Fund’s Performance at a Glance. 1
Chairman’s Perspective. 3
Fund Profile. 7
Performance Summary. 9
Financial Statements. 10
About Your Fund’s Expenses. 122
Trustees Approve Advisory Arrangement. 124
Glossary. 126

 

Please note: The opinions expressed in this report are just that—informed opinions. They should not be considered promises or advice. Also, please keep in mind that the information and opinions cover the period through the date on the front of this report. Of course, the risks of investing in your fund are spelled out in the prospectus.

See the Glossary for definitions of investment terms used in this report.

About the cover: No matter what language you speak, Vanguard has one consistent message and set of principles. Our primary focus is on you, our clients. We conduct our business with integrity as a faithful steward of your assets. This message is shown translated into seven languages, reflecting our expanding global presence.


 

Your Fund’s Performance at a Glance

• The return of Vanguard Total International Bond Index Fund was slightly negative for the six months ended April 30, 2017. That performance was in line with that of its benchmark (–0.12%) after taking expenses into account but behind the average return of its peers (+0.45%).

• Demand for bonds was buoyed by the prospect of a more protectionist trade stance by the new U.S. administration, political uncertainties in Europe, and the United Kingdom’s upcoming exit from the European Union. On the other hand, monetary policy generally remained accommodative and economic data from Europe, China, and Japan was solid.

• Among the largest constituents of the index, the United Kingdom and Germany produced positive returns, but those of France, Italy, and Spain were negative. Japan, which makes up almost one-quarter of the index, was also in the red.

• By sector, corporate bonds held up much better than their non-corporate and government counterparts.

Total Returns: Six Months Ended April 30, 2017        
  30-Day SEC Income Capital Total
  Yield Returns Returns Returns
Vanguard Total International Bond Index Fund        
Investor Shares 0.69% 1.18% -1.45% -0.27%
ETF Shares 0.74      
Market Price       -0.44
Net Asset Value       -0.27
Admiral™ Shares 0.74 1.20 -1.45 -0.25
Institutional Shares 0.77 1.22 -1.45 -0.23
Bloomberg Barclays Global Aggregate ex-USD Float        
Adjusted RIC Capped Index (USD Hedged)       -0.12
International Income Funds Average       0.45

 

International Income Funds Average: Derived from data provided by Lipper, a Thomson Reuters Company.

Admiral Shares carry lower expenses and are available to investors who meet certain account-balance requirements. Institutional Shares are available to certain institutional investors who meet specific administrative, service, and account-size criteria. The Vanguard ETF® Shares shown are traded on the NYSE Arca exchange and are available only through brokers. The table provides ETF returns based on both the NYSE Arca market price and the net asset value for a share. U.S. Pat. Nos. 6,879,964; 7,337,138; 7,720,749; 7,925,573; 8,090,646; and 8,417,623. The Vanguard ETF® Shares shown are traded on the Nasdaq exchange and are available only through brokers. The table provides ETF returns based on both the Nasdaq market price and the net asset value for a share. U.S. Pat. Nos. 6,879,964; 7,337,138; 7,720,749; 7,925,573; 8,090,646; and 8,417,623.

For the ETF Shares, the market price is determined by the midpoint of the bid-offer spread as of the closing time of the New York Stock Exchange (generally 4 p.m., Eastern time). The net asset value is also determined as of the NYSE closing time. For more information about how the ETF Shares' market prices have compared with their net asset value, visit vanguard.com, select your ETF, and then select the Price and Performance tab. The ETF premium/discount analysis there shows the percentages of days on which the ETF Shares' market price was above or below the NAV.

1


 

Expense Ratios          
Your Fund Compared With Its Peer Group          
  Investor ETF Admiral Institutional Peer Group
  Shares Shares Shares Shares Average
Total International Bond Index Fund 0.15% 0.12% 0.12% 0.07% 1.01%

 

The fund expense ratios shown are from the prospectus dated February 23, 2017, and represent estimated costs for the current fiscal year. For the six months ended April 30, 2017, the fund’s annualized expense ratios were 0.15% for Investor Shares, 0.12% for ETF Shares, 0.12% for Admiral Shares, and 0.07% for Institutional Shares. The peer-group expense ratio is derived from data provided by Lipper, a Thomson Reuters Company, and captures information through year-end 2016.

Peer group: International Income Funds.

2


 

Chairman’s Perspective


Bill McNabb
Chairman and Chief Executive Officer

Dear Shareholder,

“Buy what you know.”

It’s one of the adages of investing, and it has plenty of intuitive appeal. After all, the familiar seems inherently less risky. It’s no wonder that many investors heavily tilt their portfolios toward the stocks and bonds of their home country. This is known in investing parlance as “home bias.”

U.S. investors sometimes think they can get all the global diversification they need by owning shares of U.S.-based multinational companies. And that may seem like the best of both worlds: international diversification without ever leaving the friendly confines of home.

The potential pitfall is that, as Vanguard research has suggested, the performance of a company’s shares tends to be highly correlated to its domestic market, regardless of where that company conducts most of its business.

Americans aren’t alone in being portfolio homebodies. Vanguard has found that in a range of developed countries—Australia, Canada, Japan, and the United Kingdom, as well as the United States—investors held a greater percentage of domestic stocks than would be indicated if they had taken their cues from a globally diversified, market-weighted benchmark. (You can see this tendency in the chart later in this letter.)

3


 

Why home bias exists

Vanguard’s Investment Strategy Group identified a range of reasons why investors might not embrace global diversification, including concerns about currency risk and an expectation that their home country will deliver outsized returns.

One factor we identified—preference for the familiar—seems particularly relevant. With so much global uncertainty about geopolitics, monetary policy, and the economic outlook, it’s understandable why investors may not want to stray too far from home.

But in their aversion to the unknown, investors can end up increasing, rather than lessening, their risks. That’s

because they’re sacrificing broad global diversification—one of the best ways I know of to help control risk.

In many cases, individual country markets are much less diversified than the global market in total. Global investing, then, can be an answer for investors who want to reduce concentration risk. That can include overconcentration in a particular country, region, or industry.

And the good news is that global investing is easier than ever, thanks to the wide availability of low-cost, internationally diversified stock and bond funds. It’s possible, in a sense, to own the whole world with just a couple of funds.

Market Barometer      
      Total Returns
    Periods Ended April 30, 2017
  Six One Five Years
  Months Year (Annualized)
Stocks      
Russell 1000 Index (Large-caps) 13.46% 18.03% 13.63%
Russell 2000 Index (Small-caps) 18.37 25.63 12.95
Russell 3000 Index (Broad U.S. market) 13.83 18.58 13.57
FTSE All-World ex US Index (International) 10.55 12.98 5.60
 
Bonds      
Bloomberg Barclays U.S. Aggregate Bond Index      
(Broad taxable market) -0.67% 0.83% 2.27%
Bloomberg Barclays Municipal Bond Index      
(Broad tax-exempt market) -0.34 0.14 3.16
Citigroup Three-Month U.S. Treasury Bill Index 0.23 0.37 0.11
 
CPI      
Consumer Price Index 1.16% 2.20% 1.22%

 

4


 

Expanding our opportunities

A key to overcoming home bias is reframing the way we look at investing outside our home countries. Take, for example, automakers or pharmaceutical companies. There are well-regarded firms in both industries located throughout the world. Over the next five years, nobody can know for sure whether a Japanese or U.S. or European company will produce a popular new sedan that outsells the competition or come up with new treatments to combat illness. So why not own them all? And that includes their bonds along with their stocks.

Full global diversification also allows you to capitalize on opportunities in both developed and emerging economies. Betting on which individual country—let alone company—will be the next market darling can be a fool’s errand.

A better choice can be to harness the potential of all markets. In my personal investment account, I have an emerging markets position that complements my developed-market holdings. Not only can global diversification help control risk, but it can also expand our set of opportunities among stocks and bonds.

Home bias shows investors across the world are fixated on the familiar

Investors often own a greater share of their home country’s stocks than would be indicated by the allocations of a globally diversified, market-capitalization-weighted index fund.


Notes: Data as of December 31, 2014 (the latest available from the International Monetary Fund, or IMF), in U.S. dollars. Domestic investment is calculated by subtracting total foreign investment (as reported by the IMF) in a given country from its market capitalization in the MSCI All Country World Index. Given that the IMF data are voluntary, there may be some discrepancies between the market values in the survey and the MSCI ACWI.

Sources: Vanguard, based on data from the IMF’s Coordinated Portfolio Investment Survey (2014), Bloomberg, Thomson Reuters Datastream, and FactSet.

5


 

Ultimately, I believe we have the best chance for investment success by giving ourselves more opportunities, not fewer. Own the whole haystack and you never have to worry about finding the needle.

Thank you for entrusting your assets to Vanguard.


F. William McNabb III

Chairman and Chief Executive Officer

May 12, 2017

6


 

Total International Bond Index Fund

Fund Profile
As of April 30, 2017

Share-Class Characteristics        
  Investor   Admiral Institutional
  Shares ETF Shares Shares Shares
Ticker Symbol VTIBX BNDX VTABX VTIFX
Expense Ratio1 0.15% 0.12% 0.12% 0.07%
30-Day SEC Yield 0.69% 0.74% 0.74% 0.77%

 

Financial Attributes    
 
 
    Bloomberg
    Barclays GA
    ex-USD
    Float Adj
    RIC Capped Idx
  Fund (USD Hedged)
 
Number of Bonds 4,462 8,665
 
Yield to Maturity    
(before expenses) 0.8% 0.8%
 
Average Coupon 2.2% 2.6%
 
Average Duration 7.8 years 7.7 years
 
Average Effective    
Maturity 9.3 years 9.2 years
 
Short-Term    
Reserves 1.8%

 

Volatility Measures  
  Bloomberg
  Barclays GA
  ex-USD
  Float Adj
  RIC Capped Idx
  (USD Hedged)
R-Squared 0.99
Beta 0.99

 

These measures show the degree and timing of the fund’s fluctuations compared with the index over 36 months.

Distribution by Credit Quality (% of portfolio)

Aaa 22.3%
Aa 27.5
A 30.7
Baa 19.5

 

Sector Diversification (% of portfolio)  
Asset-Backed 0.1%
Finance 5.3
Foreign Government 81.9
Industrial 6.0
Utilities 1.1
Other 5.6

 

The agency and mortgage-backed securities sectors may include issues from government-sponsored enterprises; such issues are generally not backed by the full faith and credit of the U.S. government.

Credit-quality ratings are obtained from Barclays and are from Moody's, Fitch, and S&P. When ratings from all three agencies are used, the median rating is shown. When ratings from two of the agencies are used, the lower rating for each issue is shown. "Not Rated" is used to classify securities for which a rating is not available. For more information about these ratings, see the Glossary entry for Credit Quality.

Distribution by Effective Maturity  
(% of portfolio)  
Under 1 Year 1.1%
1 - 3 Years 19.5
3 - 5 Years 20.5
5 - 10 Years 30.6
10 - 20 Years 17.3
20 - 30 Years 8.6
Over 30 Years 2.4

 

1 The expense ratios shown are from the prospectus dated February 23, 2017, and represent estimated costs for the current fiscal year. For the six months ended April 30, 2017, the annualized expense ratios were 0.15% for Investor Shares, 0.12% for ETF Shares, 0.12% for Admiral Shares, and 0.07% for Institutional Shares.

7


 

Total International Bond Index Fund

Market Diversification (% of equity exposure)

Europe  
France 11.7%
Germany 10.0
United Kingdom 8.1
Italy 8.0
Spain 5.4
Netherlands 2.9
Belgium 2.3
Switzerland 1.5
Sweden 1.3
Austria 1.3
Other 3.1
Subtotal 55.6%
Pacific  
Japan 22.3%
Australia 2.8
South Korea 2.7
Other 0.8
Subtotal 28.6%
Emerging Markets 3.5%
North America  
Canada 5.6%
United States 2.6
Subtotal 8.2%
Middle East 0.3%
Other 3.8%

 

Allocation by Region (% of portfolio)


Investment Focus


8


 

Total International Bond Index Fund

Performance Summary

All of the returns in this report represent past performance, which is not a guarantee of future results that may be achieved by the fund. (Current performance may be lower or higher than the performance data cited. For performance data current to the most recent month-end, visit our website at vanguard.com/performance.) Note, too, that both investment returns and principal value can fluctuate widely, so an investor’s shares, when sold, could be worth more or less than their original cost. The returns shown do not reflect taxes that a shareholder would pay on fund distributions or on the sale of fund shares.

Fiscal-Year Total Returns (%): May 31, 2013, Through April 30, 2017    
        Bloomberg
        Barclays GA
        ex-USD
        Float Adj
        RIC Capped Idx
      Investor Shares (USD Hedged)
Fiscal Year Income Returns Capital Returns Total Returns Total Returns
2013 0.60% -0.10% 0.50% 0.62%
2014 1.52 4.60 6.12 6.46
2015 1.51 1.53 3.04 3.38
2016 1.52 3.86 5.38 5.70
2017 1.18 -1.45 -0.27 -0.12
Note: For 2017, performance data reflect the six months ended April 30, 2017.    

 

Average Annual Total Returns: Periods Ended March 31, 2017

This table presents returns through the latest calendar quarter—rather than through the end of the fiscal period.

Securities and Exchange Commission rules require that we provide this information.

          Since Inception
  Inception Date One Year Income Capital Total
Investor Shares 5/31/2013 1.15% 1.63% 2.05% 3.68%
ETF Shares 5/31/2013        
Market Price   1.13     3.77
Net Asset Value   1.13     3.70
Admiral Shares 5/31/2013 1.14 1.67 2.04 3.71
Institutional Shares 5/31/2013 1.18 1.73 2.05 3.78

 

See Financial Highlights for dividend and capital gains information.

9


 

Total International Bond Index Fund

Financial Statements (unaudited)

Statement of Net Assets
As of April 30, 2017

The fund reports a complete list of its holdings in regulatory filings four times in each fiscal year, at the quarter-ends. For the second and fourth fiscal quarters, the lists appear in the fund’s semiannual and annual reports to shareholders. For the first and third fiscal quarters, the fund files the lists with the Securities and Exchange Commission on Form N-Q. Shareholders can look up the fund’s Forms N-Q on the SEC’s website at sec.gov. Forms N-Q may also be reviewed and copied at the SEC’s Public Reference Room (see the back cover of this report for further information).

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Australia (2.7%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.1%)        
Australia & New Zealand Banking Group Ltd. 0.450% 11/22/23 EUR 1,000 1,092
Australia & New Zealand Banking Group Ltd. 1.125% 5/13/20 EUR 7,000 7,903
Australia & New Zealand Banking Group Ltd. 1.375% 9/4/18 EUR 2,000 2,227
Australia & New Zealand Banking Group Ltd. 2.500% 1/16/24 EUR 5,000 6,191
Australia & New Zealand Banking Group Ltd. 5.000% 8/16/23 AUD 2,000 1,648
Commonwealth Bank of Australia 0.750% 11/4/21 EUR 4,000 4,483
Commonwealth Bank of Australia 1.375% 1/22/19 EUR 5,000 5,601
Commonwealth Bank of Australia 3.000% 5/3/22 EUR 11,000 13,650
Commonwealth Bank of Australia 3.000% 9/4/26 GBP 1,700 2,459
National Australia Bank Ltd. 0.875% 11/16/22 EUR 5,000 5,625
National Australia Bank Ltd. 0.875% 2/19/27 EUR 10,000 10,891
National Australia Bank Ltd. 1.375% 5/28/21 EUR 700 803
National Australia Bank Ltd. 1.875% 1/13/23 EUR 5,000 5,929
National Australia Bank Ltd. 2.250% 6/6/25 EUR 1,800 2,207
National Australia Bank Ltd. 3.000% 9/4/26 GBP 500 724
National Australia Bank Ltd. 5.000% 3/11/24 AUD 4,000 3,301
Westpac Banking Corp. 0.625% 1/14/22 EUR 10,000 11,133
Westpac Banking Corp. 1.375% 4/17/20 EUR 2,000 2,273
Westpac Banking Corp. 1.500% 3/24/21 EUR 7,000 8,063
Westpac Banking Corp. 2.125% 7/9/19 EUR 2,500 2,862
Westpac Banking Corp. 5.250% 11/21/23 AUD 2,000 1,673
          100,738
Corporate Bonds (0.4%)          
AGL Energy Ltd. 5.000% 11/5/21 AUD 1,500 1,178
APT Pipelines Ltd. 1.375% 3/22/22 EUR 300 336
APT Pipelines Ltd. 2.000% 3/22/27 EUR 8,400 9,313
APT Pipelines Ltd. 4.250% 11/26/24 GBP 1,000 1,458
Asciano Finance Ltd. 5.000% 9/19/23 GBP 500 724
Asciano Finance Ltd. 5.250% 5/19/25 AUD 5,000 3,834
Aurizon Network Pty Ltd. 2.000% 9/18/24 EUR 3,000 3,396
AusNet Services Holdings Pty Ltd. 1.500% 2/26/27 EUR 2,600 2,873
AusNet Services Holdings Pty Ltd. 3.000% 2/13/24 EUR 4,000 4,950
Australia & New Zealand Banking Group Ltd. 3.750% 7/25/19 AUD 4,000 3,074
Australia Pacific Airports Melbourne Pty Ltd. 1.750% 10/15/24 EUR 14,000 16,087
BHP Billiton Finance Ltd. 2.125% 11/29/18 EUR 8,800 9,916
BHP Billiton Finance Ltd. 2.250% 9/25/20 EUR 1,000 1,165
BHP Billiton Finance Ltd. 3.000% 3/30/20 AUD 5,140 3,882

 

10


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
BHP Billiton Finance Ltd. 3.125% 4/29/33 EUR 500 643
BHP Billiton Finance Ltd. 3.250% 9/25/24 GBP 5,000 7,164
BHP Billiton Finance Ltd. 3.250% 9/24/27 EUR 12,700 16,558
BHP Billiton Finance Ltd. 3.750% 10/18/17 AUD 1,000 754
BHP Billiton Finance Ltd. 4.300% 9/25/42 GBP 3,100 5,046
1 BHP Billiton Finance Ltd. 6.500% 10/22/77 GBP 1,200 1,775
Commonwealth Bank of Australia 0.407% 5/2/19 JPY 500,000 4,497
Commonwealth Bank of Australia 1.625% 2/4/19 EUR 2,000 2,243
1 Commonwealth Bank of Australia 2.000% 4/22/27 EUR 10,000 11,261
Commonwealth Bank of Australia 2.250% 12/7/18 GBP 2,360 3,136
Commonwealth Bank of Australia 3.750% 10/18/19 AUD 10,000 7,662
Commonwealth Bank of Australia 4.250% 1/25/18 AUD 1,000 759
Commonwealth Bank of Australia 4.375% 2/25/20 EUR 3,500 4,279
Commonwealth Bank of Australia 5.150% 4/9/20 CAD 6,989 5,596
Macquarie Bank Ltd. 1.125% 1/20/22 EUR 500 559
Macquarie Bank Ltd. 2.500% 9/18/18 EUR 400 451
Macquarie Bank Ltd. 3.250% 3/3/20 AUD 1,000 756
Macquarie Bank Ltd. 3.500% 12/18/20 GBP 1,000 1,404
Macquarie Bank Ltd. 6.000% 9/21/20 EUR 1,500 1,902
National Australia Bank Ltd. 0.350% 9/7/22 EUR 10,000 10,809
National Australia Bank Ltd. 0.875% 1/20/22 EUR 18,000 20,022
National Australia Bank Ltd. 1.000% 4/17/20 CHF 1,000 1,041
National Australia Bank Ltd. 1.125% 11/10/21 GBP 600 785
National Australia Bank Ltd. 1.875% 2/20/20 GBP 3,500 4,663
National Australia Bank Ltd. 2.000% 11/12/20 EUR 6,000 6,948
1 National Australia Bank Ltd. 2.000% 11/12/24 EUR 2,000 2,239
National Australia Bank Ltd. 4.000% 5/23/18 AUD 5,000 3,813
National Australia Bank Ltd. 4.000% 7/13/20 EUR 5,850 7,164
National Australia Bank Ltd. 4.625% 2/10/20 EUR 1,000 1,224
National Australia Bank Ltd. 5.125% 12/9/21 GBP 4,000 6,118
1 National Australia Bank Ltd. 7.125% 6/12/23 GBP 200 275
National Capital Trust I 5.620% 9/29/49 GBP 1,801 2,452
Origin Energy Finance Ltd. 2.500% 10/23/20 EUR 310 359
Origin Energy Finance Ltd. 2.875% 10/11/19 EUR 2,200 2,546
Perth Airport Pty Ltd. 5.500% 3/25/21 AUD 6,500 5,197
Qantas Airways Ltd. 7.500% 6/11/21 AUD 8,500 7,238
Qantas Airways Ltd. 7.750% 5/19/22 AUD 1,230 1,078
1 QBE Capital Funding IV Ltd. 7.500% 5/24/41 GBP 1,000 1,458
QPH Finance Co. Pty Ltd. 5.750% 7/29/20 AUD 780 629
Rio Tinto Finance plc 2.875% 12/11/24 EUR 300 377
Rio Tinto Finance plc 4.000% 12/11/29 GBP 5,200 7,941
Scentre Group Trust 1 2.250% 7/16/24 EUR 3,598 4,242
Scentre Group Trust 1 4.500% 9/8/21 AUD 1,600 1,250
Scentre Group Trust 1 / Scentre Group Trust 2 2.375% 4/8/22 GBP 3,000 4,071
Scentre Group Trust 2 3.250% 9/11/23 EUR 6,273 7,827
Scentre Management Ltd. 1.500% 7/16/20 EUR 5,000 5,648
Telstra Corp. Ltd. 1.125% 4/14/26 EUR 10,600 11,597
Telstra Corp. Ltd. 2.500% 9/15/23 EUR 10,000 12,101
Telstra Corp. Ltd. 3.750% 5/16/22 EUR 100 127
Telstra Corp. Ltd. 4.000% 9/16/22 AUD 1,000 781
Telstra Corp. Ltd. 4.500% 11/13/18 AUD 6,000 4,622
Transurban Finance Co. Pty Ltd. 1.875% 9/16/24 EUR 3,000 3,435
Vicinity Centres 3.375% 4/7/26 GBP 1,259 1,797
Wesfarmers Ltd. 1.250% 10/7/21 EUR 500 567
Wesfarmers Ltd. 2.750% 8/2/22 EUR 3,000 3,606

 

11


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Wesfarmers Ltd. 3.660% 11/18/20 AUD 1,400 1,072
Wesfarmers Ltd. 4.750% 3/12/20 AUD 10,000 7,885
Westpac Banking Corp. 0.875% 2/16/21 EUR 15,000 16,809
Westpac Banking Corp. 3.250% 1/22/20 AUD 10,000 7,612
Westpac Banking Corp. 4.125% 5/25/18 EUR 8,000 9,133
Westpac Banking Corp. 5.000% 10/21/19 GBP 500 715
Woolworths Ltd. 6.000% 3/21/19 AUD 2,900 2,306
          340,210
Sovereign Bonds (2.2%)          
Australian Capital Territory 4.000% 5/22/24 AUD 5,000 4,042
Commonwealth Bank of Australia 1.125% 12/22/21 GBP 1,800 2,350
Commonwealth of Australia 1.750% 11/21/20 AUD 75,000 55,847
Commonwealth of Australia 2.000% 12/21/21 AUD 45,000 33,595
Commonwealth of Australia 2.250% 5/21/28 AUD 32,000 22,970
Commonwealth of Australia 2.750% 10/21/19 AUD 122,000 93,592
Commonwealth of Australia 2.750% 4/21/24 AUD 98,800 75,842
Commonwealth of Australia 2.750% 11/21/27 AUD 10,000 7,559
Commonwealth of Australia 2.750% 6/21/35 AUD 28,365 20,108
Commonwealth of Australia 3.000% 3/21/47 AUD 35,000 23,626
Commonwealth of Australia 3.250% 10/21/18 AUD 27,800 21,309
Commonwealth of Australia 3.250% 4/21/25 AUD 182,790 144,588
Commonwealth of Australia 3.250% 4/21/29 AUD 110,000 86,526
Commonwealth of Australia 3.250% 6/21/39 AUD 20,000 14,825
Commonwealth of Australia 3.750% 4/21/37 AUD 41,000 33,038
Commonwealth of Australia 4.250% 4/21/26 AUD 220,500 187,857
Commonwealth of Australia 4.500% 4/15/20 AUD 119,350 96,257
Commonwealth of Australia 4.500% 4/21/33 AUD 42,000 37,507
Commonwealth of Australia 4.750% 4/21/27 AUD 74,351 66,225
Commonwealth of Australia 5.250% 3/15/19 AUD 48,940 39,050
Commonwealth of Australia 5.500% 4/21/23 AUD 50,600 44,802
Commonwealth of Australia 5.750% 5/15/21 AUD 62,540 53,667
Commonwealth of Australia 5.750% 7/15/22 AUD 102,322 90,264
New South Wales Treasury Corp. 3.000% 3/20/28 AUD 40,000 29,817
New South Wales Treasury Corp. 3.500% 3/20/19 AUD 20,000 15,427
New South Wales Treasury Corp. 4.000% 4/8/21 AUD 10,000 8,010
New South Wales Treasury Corp. 4.000% 4/20/23 AUD 8,000 6,498
New South Wales Treasury Corp. 4.000% 5/20/26 AUD 5,000 4,092
New South Wales Treasury Corp. 5.000% 8/20/24 AUD 17,000 14,748
New South Wales Treasury Corp. 6.000% 5/1/20 AUD 5,000 4,176
New South Wales Treasury Corp. 6.000% 3/1/22 AUD 34,000 29,758
New South Wales Treasury Corp. 6.000% 5/1/30 AUD 3,000 2,901
2 Queensland Treasury Corp. 2.750% 8/20/27 AUD 18,000 12,952
2 Queensland Treasury Corp. 3.250% 7/21/26 AUD 18,500 14,073
2 Queensland Treasury Corp. 3.250% 7/21/28 AUD 23,000 17,229
2 Queensland Treasury Corp. 4.250% 7/21/23 AUD 43,000 35,119
2 Queensland Treasury Corp. 4.750% 7/21/25 AUD 42,000 35,670
Queensland Treasury Corp. 5.500% 6/21/21 AUD 22,000 18,544
Queensland Treasury Corp. 5.750% 7/22/24 AUD 10,000 8,932
Queensland Treasury Corp. 6.000% 7/21/22 AUD 25,000 21,938
Queensland Treasury Corp. 6.250% 2/21/20 AUD 45,000 37,553
SGSP Australia Assets Pty Ltd. 2.000% 6/30/22 EUR 3,700 4,280
SGSP Australia Assets Pty Ltd. 5.125% 2/11/21 GBP 1,000 1,472
SGSP Australia Assets Pty Ltd. 5.500% 3/12/21 AUD 4,000 3,228
South Australian Government Financing Authority 1.500% 9/22/22 AUD 20,000 14,196
South Australian Government Financing Authority 2.750% 4/16/25 AUD 11,000 8,123

 

12


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
South Australian Government Financing Authority 4.250% 11/20/23 AUD 5,000 4,081
South Australian Government Financing Authority 4.750% 8/6/19 AUD 7,500 5,968
South Australian Government Financing Authority 5.000% 5/20/21 AUD 10,000 8,291
Tasmanian Public Finance Corp. 3.250% 2/19/26 AUD 9,000 6,812
Treasury Corp. of Victoria 3.000% 10/20/28 AUD 8,000 5,931
Treasury Corp. of Victoria 5.500% 11/15/18 AUD 25,000 19,750
Treasury Corp. of Victoria 5.500% 12/17/24 AUD 10,000 8,964
Treasury Corp. of Victoria 5.500% 11/17/26 AUD 15,000 13,721
Treasury Corp. of Victoria 6.000% 6/15/20 AUD 10,000 8,379
Treasury Corp. of Victoria 6.000% 10/17/22 AUD 22,000 19,543
Western Australian Treasury Corp. 2.500% 7/22/20 AUD 59,000 44,559
Western Australian Treasury Corp. 2.500% 7/23/24 AUD 10,000 7,210
Western Australian Treasury Corp. 2.750% 10/20/22 AUD 25,000 18,812
Western Australian Treasury Corp. 5.000% 7/23/25 AUD 12,000 10,235
Western Australian Treasury Corp. 7.000% 10/15/19 AUD 15,000 12,564
Westpac Banking Corp. 0.750% 7/22/21 EUR 10,000 11,205
          1,810,207
Total Australia (Cost $2,325,873)         2,251,155
Austria (1.3%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.0%)        
BAWAG PSK Bank fuer Arbeit und Wirtschaft          
und Oesterreichische Postsparkasse AG 1.875% 9/18/19 EUR 500 571
Erste Group Bank AG 0.750% 2/5/25 EUR 2,500 2,779
Erste Group Bank AG 3.500% 2/8/22 EUR 600 760
Erste Group Bank AG 4.000% 1/20/21 EUR 2,000 2,506
HYPO NOE Gruppe Bank AG 3.000% 5/9/22 EUR 2,000 2,477
KA Finanz AG 1.625% 9/25/18 EUR 2,000 2,234
Raiffeisen-Landesbank Steiermark AG 2.375% 6/14/28 EUR 300 375
Raiffeisenlandesbank Niederoesterreich-Wien AG 1.750% 10/2/20 EUR 1,700 1,965
UniCredit Bank Austria AG 0.750% 2/25/25 EUR 500 553
UniCredit Bank Austria AG 1.250% 7/30/18 EUR 500 555
UniCredit Bank Austria AG 1.375% 5/26/21 EUR 5,000 5,740
UniCredit Bank Austria AG 2.375% 1/22/24 EUR 5,100 6,277
UniCredit Bank Austria AG 4.125% 2/24/21 EUR 2,000 2,518
          29,310
Corporate Bonds (0.0%)          
Erste Group Bank AG 0.625% 1/19/23 EUR 4,000 4,461
JAB Holdings BV 1.750% 5/25/23 EUR 700 790
OMV AG 3.500% 9/27/27 EUR 2,400 3,177
OMV AG 4.250% 10/12/21 EUR 1,000 1,279
1 OMV AG 5.250% 12/29/49 EUR 1,450 1,755
1 OMV AG 6.250% 12/29/49 EUR 3,050 3,858
Telekom Finanzmanagement GmbH 3.125% 12/3/21 EUR 5,000 6,112
Telekom Finanzmanagement GmbH 4.000% 4/4/22 EUR 500 637
1 UNIQA Insurance Group AG 6.000% 7/27/46 EUR 3,000 3,790
1 Vienna Insurance Group AG Wiener          
Versicherung Gruppe 5.500% 10/9/43 EUR 1,200 1,523
          27,382
Sovereign Bonds (1.3%)          
3 Autobahnen- Und Schnellstrassen-          
Finanzierungs-AG 1.375% 4/9/21 EUR 7,000 8,067
3 Autobahnen- Und Schnellstrassen-          
Finanzierungs-AG 2.750% 6/11/32 EUR 500 653

 

13


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
3 Autobahnen- Und Schnellstrassen-          
Finanzierungs-AG 2.750% 6/20/33 EUR 1,200 1,575
3 Autobahnen- Und Schnellstrassen-          
Finanzierungs-AG 3.375% 9/22/25 EUR 2,000 2,686
3 Autobahnen- Und Schnellstrassen-          
Finanzierungs-AG 4.375% 7/8/19 EUR 11,000 13,229
Erdoel-Lagergesellschaft mbH 2.750% 3/20/28 EUR 2,000 2,541
3 Hypo Alpe-Adria-Bank International AG 2.375% 12/13/22 EUR 3,000 3,585
HYPO NOE Gruppe Bank AG 0.500% 9/11/20 EUR 10,000 11,039
3 KA Finanz AG 0.375% 8/11/20 EUR 10,900 12,078
3 Kaerntner Ausgleichszahlungs-Fonds 0.000% 1/14/32 EUR 20,000 18,634
3 OeBB Infrastruktur AG 1.000% 11/18/24 EUR 7,000 7,950
3 OeBB Infrastruktur AG 2.250% 7/4/23 EUR 10,000 12,224
3 OeBB Infrastruktur AG 2.250% 5/28/29 EUR 3,000 3,717
3 OeBB Infrastruktur AG 3.375% 5/18/32 EUR 7,000 9,798
3 OeBB Infrastruktur AG 3.500% 10/19/20 EUR 6,000 7,374
3 OeBB Infrastruktur AG 3.500% 10/19/26 EUR 1,800 2,465
3 OeBB Infrastruktur AG 3.625% 7/13/21 EUR 1,000 1,257
3 Oesterreichische Kontrollbank AG 2.000% 12/17/18 GBP 2,000 2,655
3 Oesterreichische Kontrollbank AG 2.125% 7/23/19 CHF 3,500 3,728
3 Oesterreichische Kontrollbank AG 2.625% 11/22/24 CHF 10,610 12,890
3 Oesterreichische Kontrollbank AG 2.875% 2/25/30 CHF 4,500 6,058
2 Republic of Austria 0.000% 7/15/23 EUR 75,000 81,630
2 Republic of Austria 0.250% 10/18/19 EUR 19,400 21,541
2 Republic of Austria 0.500% 4/20/27 EUR 40,000 43,128
2 Republic of Austria 0.750% 10/20/26 EUR 120,000 133,682
2 Republic of Austria 1.150% 10/19/18 EUR 14,250 15,924
2 Republic of Austria 1.200% 10/20/25 EUR 30,000 34,948
2 Republic of Austria 1.500% 2/20/47 EUR 9,000 9,840
2 Republic of Austria 1.500% 11/2/86 EUR 24,071 23,098
2 Republic of Austria 1.650% 10/21/24 EUR 36,500 44,001
2 Republic of Austria 1.950% 6/18/19 EUR 60,000 68,877
2 Republic of Austria 2.400% 5/23/34 EUR 24,600 32,509
2 Republic of Austria 3.150% 6/20/44 EUR 23,180 35,163
2 Republic of Austria 3.400% 11/22/22 EUR 30,000 39,084
2 Republic of Austria 3.500% 9/15/21 EUR 40,000 50,862
2 Republic of Austria 3.650% 4/20/22 EUR 53,000 68,869
2 Republic of Austria 3.900% 7/15/20 EUR 20,450 25,409
2 Republic of Austria 4.150% 3/15/37 EUR 40,000 66,733
2 Republic of Austria 4.350% 3/15/19 EUR 25,000 29,758
2 Republic of Austria 4.850% 3/15/26 EUR 20,000 30,164
Republic of Austria 6.250% 7/15/27 EUR 14,750 25,321
          1,024,744
Total Austria (Cost $1,111,977)         1,081,436
Belgium (2.3%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.1%)        
Belfius Bank SA/NV 0.625% 10/14/21 EUR 11,000 12,279
Belfius Bank SA/NV 1.250% 1/28/19 EUR 2,000 2,236
Belfius Bank SA/NV 1.375% 6/5/20 EUR 11,500 13,100
Belfius Bank SA/NV 2.125% 1/30/23 EUR 3,000 3,617
KBC Bank NV 0.450% 1/22/22 EUR 5,000 5,540
KBC Bank NV 1.000% 2/25/19 EUR 1,000 1,115
KBC Bank NV 1.250% 5/28/20 EUR 3,000 3,403
          41,290

 

14


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Corporate Bonds (0.2%)          
Anheuser-Busch InBev SA/NV 0.625% 3/17/20 EUR 15,000 16,631
Anheuser-Busch InBev SA/NV 0.875% 3/17/22 EUR 11,900 13,322
Anheuser-Busch InBev SA/NV 1.500% 3/17/25 EUR 15,620 17,802
Anheuser-Busch InBev SA/NV 1.875% 1/20/20 EUR 3,000 3,433
Anheuser-Busch InBev SA/NV 2.000% 12/16/19 EUR 750 860
Anheuser-Busch InBev SA/NV 2.000% 3/17/28 EUR 16,000 18,480
Anheuser-Busch InBev SA/NV 2.750% 3/17/36 EUR 15,500 18,497
Anheuser-Busch InBev SA/NV 2.875% 9/25/24 EUR 4,000 5,026
Anheuser-Busch InBev SA/NV 4.000% 6/2/21 EUR 5,000 6,289
Anheuser-Busch InBev SA/NV 4.000% 9/24/25 GBP 6,000 9,066
Anheuser-Busch InBev SA/NV 9.750% 7/30/24 GBP 800 1,594
1 Argenta Spaarbank NV 3.875% 5/24/26 EUR 15,200 17,660
Belfius Bank SA/NV 2.250% 9/26/18 EUR 5,000 5,621
Belfius Bank SA/NV 3.125% 5/11/26 EUR 1,700 1,934
Delhaize Le Lion / De Leeuw BV 3.125% 2/27/20 EUR 300 355
KBC Bank NV 0.375% 9/1/22 EUR 32,000 35,273
KBC Group NV 0.750% 10/18/23 EUR 13,200 14,182
KBC IFIMA SA 2.125% 9/10/18 EUR 5,500 6,172
Solvay SA 1.625% 12/2/22 EUR 300 343
Solvay SA 2.750% 12/2/27 EUR 300 366
          192,906
Sovereign Bonds (2.0%)          
4 Dexia Credit Local SA 0.200% 7/31/18 EUR 4,000 4,381
4 Dexia Credit Local SA 0.250% 3/19/20 EUR 10,000 10,983
4 Dexia Credit Local SA 0.625% 1/21/22 EUR 7,000 7,754
4 Dexia Credit Local SA 0.750% 1/25/23 EUR 8,000 8,842
4 Dexia Credit Local SA 0.875% 9/7/21 GBP 3,000 3,859
4 Dexia Credit Local SA 1.250% 11/26/24 EUR 17,200 19,344
4 Dexia Credit Local SA 1.375% 9/18/19 EUR 5,000 5,640
4 Dexia Credit Local SA 1.625% 10/29/18 EUR 3,000 3,358
4 Dexia Credit Local SA 2.000% 6/17/20 GBP 5,000 6,702
4 Dexia Credit Local SA 2.125% 2/12/25 GBP 3,000 4,027
Eandis CVBA 1.750% 12/4/26 EUR 6,000 7,003
Eandis CVBA 4.500% 11/8/21 EUR 1,500 1,940
Eandis System Operator SCRL 2.875% 10/9/23 EUR 1,000 1,247
2 Kingdom of Belgium 0.200% 10/22/23 EUR 30,000 32,929
2 Kingdom of Belgium 0.800% 6/22/25 EUR 62,000 69,374
2 Kingdom of Belgium 0.800% 6/22/27 EUR 74,200 80,959
2 Kingdom of Belgium 1.000% 6/22/26 EUR 96,364 108,623
2 Kingdom of Belgium 1.000% 6/22/31 EUR 63,000 67,419
Kingdom of Belgium 1.125% 12/21/18 GBP 4,000 5,234
Kingdom of Belgium 1.250% 6/22/18 EUR 33,000 36,707
2 Kingdom of Belgium 1.600% 6/22/47 EUR 15,000 15,690
2 Kingdom of Belgium 1.900% 6/22/38 EUR 40,000 47,018
2 Kingdom of Belgium 2.150% 6/22/66 EUR 45,000 49,813
Kingdom of Belgium 2.250% 6/22/23 EUR 69,500 86,343
2 Kingdom of Belgium 2.250% 6/22/57 EUR 10,000 11,643
2 Kingdom of Belgium 2.600% 6/22/24 EUR 80,000 101,689
Kingdom of Belgium 3.000% 9/28/19 EUR 24,000 28,403
2 Kingdom of Belgium 3.000% 6/22/34 EUR 41,970 58,125
2 Kingdom of Belgium 3.750% 9/28/20 EUR 102,342 127,715
Kingdom of Belgium 3.750% 6/22/45 EUR 19,000 30,302
Kingdom of Belgium 4.000% 3/28/19 EUR 80,000 94,831
Kingdom of Belgium 4.000% 3/28/22 EUR 28,950 38,210

 

15


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Kingdom of Belgium 4.000% 3/28/32 EUR 33,000 50,201
2 Kingdom of Belgium 4.250% 9/28/21 EUR 61,000 80,033
Kingdom of Belgium 4.250% 9/28/22 EUR 80,000 108,078
2 Kingdom of Belgium 4.250% 3/28/41 EUR 47,250 79,584
2 Kingdom of Belgium 4.500% 3/28/26 EUR 7,000 10,299
2 Kingdom of Belgium 5.000% 3/28/35 EUR 41,000 71,806
Kingdom of Belgium 5.500% 3/28/28 EUR 23,000 37,571
Proximus SADP 2.375% 4/4/24 EUR 3,100 3,735
          1,617,414
Total Belgium (Cost $1,890,978)         1,851,610
Bermuda (0.0%)          
Corporate Bond (0.0%)          
Bacardi Ltd. 2.750% 7/3/23 EUR 2,000 2,418
Total Bermuda (Cost $2,665)         2,418
Brazil (0.0%)          
Corporate Bonds (0.0%)          
BRF SA 2.750% 6/3/22 EUR 2,440 2,658
Vale SA 3.750% 1/10/23 EUR 5,000 5,892
Total Brazil (Cost $8,441)         8,550
Bulgaria (0.1%)          
Sovereign Bonds (0.1%)          
Republic of Bulgaria 1.875% 3/21/23 EUR 6,000 6,871
Republic of Bulgaria 2.000% 3/26/22 EUR 3,000 3,485
Republic of Bulgaria 2.625% 3/26/27 EUR 3,000 3,455
Republic of Bulgaria 2.950% 9/3/24 EUR 800 959
Republic of Bulgaria 3.000% 3/21/28 EUR 25,000 29,530
Republic of Bulgaria 3.125% 3/26/35 EUR 3,000 3,330
Total Bulgaria (Cost $45,695)         47,630
Canada (5.5%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.3%)        
Bank of Montreal 0.100% 10/20/23 EUR 10,000 10,700
Bank of Montreal 0.250% 1/22/20 EUR 10,000 11,023
Bank of Montreal 1.000% 5/7/19 EUR 25,000 27,920
Bank of Nova Scotia 0.100% 1/21/19 EUR 10,000 10,966
Bank of Nova Scotia 0.500% 7/23/20 EUR 23,000 25,526
Bank of Nova Scotia 0.750% 9/17/21 EUR 10,000 11,222
Bank of Nova Scotia 1.000% 4/2/19 EUR 5,000 5,578
Caisse Centrale Desjardins 1.125% 3/11/19 EUR 3,000 3,351
Canadian Imperial Bank of Commerce 1.250% 8/7/18 EUR 3,000 3,334
National Bank of Canada 0.000% 9/29/23 EUR 3,500 3,723
National Bank of Canada 0.500% 1/26/22 EUR 14,000 15,525
National Bank of Canada 1.250% 12/17/18 EUR 2,000 2,233
National Bank of Canada 1.500% 3/25/21 EUR 5,000 5,766
Royal Bank of Canada 0.875% 6/17/22 EUR 2,000 2,257
Royal Bank of Canada 1.250% 10/29/18 EUR 10,000 11,140
Royal Bank of Canada 1.625% 8/4/20 EUR 11,500 13,222
Toronto-Dominion Bank 0.250% 4/27/22 EUR 5,000 5,472
Toronto-Dominion Bank 0.375% 1/12/21 EUR 10,000 11,058
Toronto-Dominion Bank 0.375% 4/27/23 EUR 1,000 1,094

 

16


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Toronto-Dominion Bank 0.625% 7/29/19 EUR 15,000 16,656
Toronto-Dominion Bank 0.750% 10/29/21 EUR 6,000 6,734
Toronto-Dominion Bank 1.680% 6/8/21 CAD 10,000 7,370
          211,870
Corporate Bonds (0.9%)          
407 International Inc. 3.600% 5/21/47 CAD 4,900 3,709
407 International Inc. 4.190% 4/25/42 CAD 5,500 4,544
407 International Inc. 4.300% 5/26/21 CAD 1,500 1,218
407 International Inc. 5.750% 2/14/36 CAD 995 954
Aeroports de Montreal 5.170% 9/17/35 CAD 325 301
Aeroports de Montreal 5.670% 10/16/37 CAD 2,000 1,993
2 Algonquin Power Co. 4.090% 2/17/27 CAD 800 626
Alimentation Couche-Tard Inc. 3.600% 6/2/25 CAD 7,900 6,107
AltaGas Ltd. 4.500% 8/15/44 CAD 1,757 1,306
AltaLink LP 3.668% 11/6/23 CAD 2,000 1,620
AltaLink LP 3.717% 12/3/46 CAD 4,000 3,081
AltaLink LP 3.990% 6/30/42 CAD 2,925 2,345
AltaLink LP 4.922% 9/17/43 CAD 3,000 2,759
Bank of Montreal 1.610% 10/28/21 CAD 10,000 7,309
Bank of Montreal 2.100% 10/6/20 CAD 5,100 3,814
Bank of Montreal 2.120% 3/16/22 CAD 15,300 11,393
1 Bank of Montreal 3.320% 6/1/26 CAD 10,500 8,034
1 Bank of Montreal 3.340% 12/8/25 CAD 10,750 8,217
Bank of Montreal 3.400% 4/23/21 CAD 3,000 2,350
Bank of Montreal 4.609% 9/10/25 CAD 5,000 4,339
Bank of Montreal 6.020% 5/2/18 CAD 4,000 3,072
Bank of Nova Scotia 1.900% 12/2/21 CAD 2,000 1,478
Bank of Nova Scotia 2.090% 9/9/20 CAD 8,400 6,276
Bank of Nova Scotia 2.130% 6/15/20 CAD 20,000 14,961
Bank of Nova Scotia 2.400% 10/28/19 CAD 9,700 7,290
1 Bank of Nova Scotia 2.580% 3/30/27 CAD 4,550 3,369
1 Bank of Nova Scotia 3.036% 10/18/24 CAD 5,000 3,794
Bank of Nova Scotia 3.270% 1/11/21 CAD 5,000 3,889
1 Bank of Nova Scotia 3.367% 12/8/25 CAD 7,000 5,357
Bell Canada Inc. 3.000% 10/3/22 CAD 5,200 3,978
Bell Canada Inc. 3.250% 6/17/20 CAD 5,350 4,109
Bell Canada Inc. 3.350% 6/18/19 CAD 5,000 3,807
Bell Canada Inc. 3.350% 3/22/23 CAD 5,000 3,888
Bell Canada Inc. 3.550% 3/2/26 CAD 3,000 2,335
Bell Canada Inc. 4.350% 12/18/45 CAD 3,150 2,378
Bell Canada Inc. 4.450% 2/27/47 CAD 5,000 3,829
Bell Canada Inc. 4.750% 9/29/44 CAD 3,500 2,806
Bell Canada Inc. 5.520% 2/26/19 CAD 2,000 1,572
Bell Canada Inc. 7.850% 4/2/31 CAD 5,000 5,204
1 BMO Capital Trust II 10.221% 12/31/07 CAD 700 583
BP LP 3.244% 1/9/20 CAD 1,035 778
Brookfield Asset Management Inc. 3.800% 3/16/27 CAD 4,235 3,258
Brookfield Asset Management Inc. 4.540% 3/31/23 CAD 6,875 5,584
Brookfield Asset Management Inc. 4.820% 1/28/26 CAD 6,000 4,990
Brookfield Asset Management Inc. 5.040% 3/8/24 CAD 1,500 1,256
Brookfield Infrastructure Finance ULC 3.315% 2/22/24 CAD 5,000 3,747
Brookfield Infrastructure Finance ULC 3.538% 10/30/20 CAD 850 652
Brookfield Renewable Partners ULC 3.752% 6/2/25 CAD 5,301 4,134
Bruce Power LP 3.969% 6/23/26 CAD 5,000 3,972
Caisse Centrale Desjardins 1.748% 3/2/20 CAD 10,150 7,506

 

17


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Caisse Centrale Desjardins 2.091% 1/17/22 CAD 2,590 1,923
Caisse Centrale Desjardins 2.795% 11/19/18 CAD 4,000 3,002
Cameco Corp. 4.190% 6/24/24 CAD 3,500 2,675
Canadian Imperial Bank of Commerce 0.375% 10/15/19 EUR 10,000 11,052
Canadian Imperial Bank of Commerce 1.640% 7/12/21 CAD 250 183
Canadian Imperial Bank of Commerce 1.700% 10/9/18 CAD 10,000 7,381
Canadian Imperial Bank of Commerce 1.850% 7/14/20 CAD 250 186
Canadian Imperial Bank of Commerce 1.900% 4/26/21 CAD 4,000 2,966
Canadian Imperial Bank of Commerce 2.040% 3/21/22 CAD 10,000 7,424
1 Canadian Imperial Bank of Commerce 3.000% 10/28/24 CAD 12,000 9,032
1 Canadian Imperial Bank of Commerce 3.420% 1/26/26 CAD 10,000 7,650
Canadian National Railway Co. 2.800% 9/22/25 CAD 5,000 3,859
Canadian Natural Resources Ltd. 2.890% 8/14/20 CAD 400 301
Canadian Natural Resources Ltd. 3.310% 2/11/22 CAD 10,000 7,631
Canadian Pacific Railway Co. 6.250% 6/1/18 CAD 5,000 3,858
Canadian Pacific Railway Co. 6.450% 11/17/39 CAD 1,750 1,759
1 Capital Desjardins Inc. 4.954% 12/15/26 CAD 3,000 2,491
Capital Desjardins Inc. 5.187% 5/5/20 CAD 5,355 4,327
Capital Power Corp. 5.276% 11/16/20 CAD 4,650 3,716
CI Financial Corp. 2.645% 12/7/20 CAD 5,200 3,897
1 CIBC Capital Trust 10.250% 6/30/08 CAD 225 224
Cogeco Communications Inc. 4.175% 5/26/23 CAD 250 198
CU Inc. 3.805% 9/10/42 CAD 450 349
CU Inc. 3.964% 7/27/45 CAD 3,000 2,395
CU Inc. 4.085% 9/2/44 CAD 5,400 4,404
CU Inc. 4.543% 10/24/41 CAD 1,000 862
CU Inc. 4.722% 9/9/43 CAD 3,000 2,673
CU Inc. 6.800% 8/13/19 CAD 900 740
Emera Inc. 2.900% 6/16/23 CAD 8,000 6,054
Enbridge Gas Distribution Inc. 2.500% 8/5/26 CAD 2,000 1,479
Enbridge Gas Distribution Inc. 3.310% 9/11/25 CAD 240 190
Enbridge Gas Distribution Inc. 4.000% 8/22/44 CAD 2,000 1,596
Enbridge Gas Distribution Inc. 4.040% 11/23/20 CAD 350 279
Enbridge Gas Distribution Inc. 4.950% 11/22/50 CAD 1,000 922
Enbridge Inc. 3.190% 12/5/22 CAD 5,000 3,833
Enbridge Inc. 4.240% 8/27/42 CAD 2,375 1,721
Enbridge Inc. 4.530% 3/9/20 CAD 9,700 7,659
Enbridge Inc. 4.570% 3/11/44 CAD 1,400 1,068
Enbridge Income Fund 3.950% 11/19/24 CAD 3,000 2,390
Enbridge Pipelines Inc. 3.450% 9/29/25 CAD 5,240 4,127
Enbridge Pipelines Inc. 4.550% 8/17/43 CAD 1,000 812
Enbridge Pipelines Inc. 4.550% 9/29/45 CAD 5,600 4,574
EPCOR Utilities Inc. 4.550% 2/28/42 CAD 2,900 2,510
Fairfax Financial Holdings Ltd. 4.500% 3/22/23 CAD 2,500 1,952
Fairfax Financial Holdings Ltd. 4.700% 12/16/26 CAD 5,000 3,888
Fairfax Financial Holdings Ltd. 4.950% 3/3/25 CAD 575 458
Fairfax Financial Holdings Ltd. 5.840% 10/14/22 CAD 2,800 2,329
First Capital Realty Inc. 4.790% 8/30/24 CAD 5,000 4,126
Great-West Lifeco Inc. 1.750% 12/7/26 EUR 500 562
Great-West Lifeco Inc. 5.998% 11/16/39 CAD 1,000 980
Great-West Lifeco Inc. 6.670% 3/21/33 CAD 2,000 1,989
Greater Toronto Airports Authority 5.300% 2/25/41 CAD 3,100 3,036
Home Trust Co. 3.400% 12/10/18 CAD 350 232
HSBC Bank Canada 2.078% 11/26/18 CAD 10,000 7,417
HSBC Bank Canada 2.449% 1/29/21 CAD 150 113

 

18


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
HSBC Bank Canada 2.491% 5/13/19 CAD 5,000 3,744
HSBC Bank Canada 2.908% 9/29/21 CAD 3,000 2,306
HSBC Bank Canada 2.938% 1/14/20 CAD 1,950 1,484
1 Industrial Alliance Insurance & Financial          
Services Inc. 3.300% 9/15/28 CAD 5,000 3,840
Inter Pipeline Ltd. 3.173% 3/24/25 CAD 4,950 3,748
Inter Pipeline Ltd. 3.776% 5/30/22 CAD 2,300 1,812
Inter Pipeline Ltd. 4.637% 5/30/44 CAD 3,000 2,375
John Deere Canada Funding Inc. 2.050% 9/17/20 CAD 700 521
John Deere Canada Funding Inc. 2.350% 6/24/19 CAD 3,675 2,746
Kraft Canada Inc. 2.700% 7/6/20 CAD 1,865 1,402
Laurentian Bank of Canada 2.500% 1/23/20 CAD 300 224
Laurentian Bank of Canada 2.810% 6/13/19 CAD 1,107 830
Loblaw Cos. Ltd. 3.748% 3/12/19 CAD 2,800 2,139
1 Manufacturers Life Insurance Co. 2.100% 6/1/25 CAD 9,000 6,670
1 Manufacturers Life Insurance Co. 2.640% 1/15/25 CAD 200 150
1 Manufacturers Life Insurance Co. 3.181% 11/22/27 CAD 5,000 3,864
1 Manulife Finance Delaware LP 5.059% 12/15/41 CAD 900 737
1 Manulife Financial Capital Trust II 7.405% 12/31/08 CAD 4,000 3,332
Manulife Financial Corp. 7.768% 4/8/19 CAD 300 245
Metro Inc. 5.970% 10/15/35 CAD 5,048 4,595
National Bank of Canada 1.742% 3/3/20 CAD 500 370
National Bank of Canada 1.809% 7/26/21 CAD 5,000 3,684
National Bank of Canada 2.404% 10/28/19 CAD 15,400 11,577
National Bank of Canada 2.794% 8/9/18 CAD 850 635
NBC Asset Trust 7.235% 12/29/49 CAD 150 117
North West Redwater Partnership /          
NWR Financing Co. Ltd. 3.700% 2/23/43 CAD 4,000 2,918
North West Redwater Partnership /          
NWR Financing Co. Ltd. 4.050% 7/22/44 CAD 3,350 2,590
North West Redwater Partnership /          
NWR Financing Co. Ltd. 4.250% 6/1/29 CAD 250 203
North West Redwater Partnership /          
NWR Financing Co. Ltd. 4.750% 6/1/37 CAD 5,000 4,255
Nova Scotia Power Inc. 5.610% 6/15/40 CAD 4,300 4,165
Ottawa MacDonald-Cartier International          
Airport Authority 3.933% 6/9/45 CAD 775 600
Pembina Pipeline Corp. 3.710% 8/11/26 CAD 4,850 3,747
Pembina Pipeline Corp. 4.240% 6/15/27 CAD 3,000 2,396
Pembina Pipeline Corp. 4.750% 4/30/43 CAD 3,000 2,282
Pembina Pipeline Corp. 4.810% 3/25/44 CAD 2,000 1,536
Plenary Properties LTAP LP 6.288% 1/31/44 CAD 4,505 4,441
RioCan REIT 3.850% 6/28/19 CAD 1,025 787
Rogers Communications Inc. 2.800% 3/13/19 CAD 300 225
Rogers Communications Inc. 4.000% 3/13/24 CAD 4,000 3,230
Rogers Communications Inc. 4.700% 9/29/20 CAD 400 322
Rogers Communications Inc. 5.340% 3/22/21 CAD 6,000 4,970
Rogers Communications Inc. 6.110% 8/25/40 CAD 5,000 4,710
Rogers Communications Inc. 6.680% 11/4/39 CAD 3,044 3,033
Royal Bank of Canada 0.500% 12/16/20 EUR 5,000 5,549
Royal Bank of Canada 0.750% 10/23/18 CHF 2,000 2,037
Royal Bank of Canada 1.583% 9/13/21 CAD 4,700 3,428
Royal Bank of Canada 1.968% 3/2/22 CAD 25,100 18,517
Royal Bank of Canada 2.000% 3/21/22 CAD 4,500 3,331
Royal Bank of Canada 2.333% 12/5/23 CAD 8,500 6,351

 

19


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Royal Bank of Canada 2.350% 12/9/19 CAD 6,750 5,069
Royal Bank of Canada 2.770% 12/11/18 CAD 28,000 21,027
Royal Bank of Canada 2.980% 5/7/19 CAD 7,000 5,302
1 Royal Bank of Canada 2.990% 12/6/24 CAD 14,225 10,797
1 Royal Bank of Canada 3.040% 7/17/24 CAD 400 301
1 Royal Bank of Canada 3.310% 1/20/26 CAD 5,900 4,508
1 Royal Bank of Canada 3.450% 9/29/26 CAD 10,000 7,707
Royal Office Finance LP 5.209% 11/12/32 CAD 7,049 6,377
Saputo Inc. 2.654% 11/26/19 CAD 250 188
1 Scotiabank Capital Trust 5.650% 12/31/56 CAD 200 182
Shaw Communications Inc. 4.350% 1/31/24 CAD 10,000 8,029
Shaw Communications Inc. 5.500% 12/7/20 CAD 100 82
Shaw Communications Inc. 6.750% 11/9/39 CAD 3,850 3,556
1 Sun Life Financial Inc. 2.600% 9/25/25 CAD 350 263
1 Sun Life Financial Inc. 3.050% 9/19/28 CAD 10,000 7,605
Sun Life Financial Inc. 4.570% 8/23/21 CAD 3,000 2,458
1 Sun Life Financial Inc. 5.400% 5/29/42 CAD 850 753
Suncor Energy Inc. 3.000% 9/14/26 CAD 3,000 2,245
Suncor Energy Inc. 4.340% 9/13/46 CAD 5,154 3,984
Suncor Energy Inc. 5.800% 5/22/18 CAD 5,000 3,838
TELUS Corp. 2.350% 3/28/22 CAD 9,800 7,287
TELUS Corp. 3.200% 4/5/21 CAD 750 577
TELUS Corp. 3.350% 4/1/24 CAD 10,700 8,282
TELUS Corp. 3.750% 1/17/25 CAD 2,460 1,943
TELUS Corp. 3.750% 3/10/26 CAD 900 709
TELUS Corp. 4.400% 4/1/43 CAD 3,000 2,222
TELUS Corp. 4.400% 1/29/46 CAD 250 185
TELUS Corp. 4.750% 1/17/45 CAD 1,430 1,116
TELUS Corp. 4.850% 4/5/44 CAD 9,250 7,331
TELUS Corp. 5.050% 12/4/19 CAD 150 120
TELUS Corp. 5.050% 7/23/20 CAD 300 243
Teranet Holdings LP 4.807% 12/16/20 CAD 8,875 7,083
Teranet Holdings LP 5.754% 12/17/40 CAD 1,200 970
Thomson Reuters Corp. 4.350% 9/30/20 CAD 4,439 3,527
Toronto-Dominion Bank 1.693% 4/2/20 CAD 15,000 11,088
Toronto-Dominion Bank 2.045% 3/8/21 CAD 5,000 3,729
Toronto-Dominion Bank 2.447% 4/2/19 CAD 5,000 3,745
Toronto-Dominion Bank 2.621% 12/22/21 CAD 12,450 9,505
1 Toronto-Dominion Bank 2.982% 9/30/25 CAD 7,400 5,590
Toronto-Dominion Bank 3.226% 7/24/24 CAD 5,450 4,299
1 Toronto-Dominion Bank 4.859% 3/4/31 CAD 5,150 4,323
1 Toronto-Dominion Bank 5.828% 7/9/23 CAD 450 347
TransAlta Corp. 5.000% 11/25/20 CAD 350 269
TransCanada PipeLines Ltd. 3.650% 11/15/21 CAD 5,000 3,974
TransCanada PipeLines Ltd. 3.690% 7/19/23 CAD 5,240 4,201
TransCanada PipeLines Ltd. 4.350% 6/6/46 CAD 4,000 3,212
TransCanada PipeLines Ltd. 4.550% 11/15/41 CAD 2,000 1,636
Union Gas Ltd. 4.200% 6/2/44 CAD 2,400 1,990
Union Gas Ltd. 4.880% 6/21/41 CAD 3,450 3,111
Veresen Inc. 3.430% 11/10/21 CAD 3,000 2,257
VW Credit Canada Inc. 2.500% 10/1/19 CAD 10,000 7,475
Wells Fargo Canada Corp. 2.944% 7/25/19 CAD 2,000 1,516
Wells Fargo Canada Corp. 3.040% 1/29/21 CAD 10,000 7,698
Westcoast Energy Inc. 5.600% 1/16/19 CAD 275 215
          724,141

 

20


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
Sovereign Bonds (4.3%)          
  Canada 0.250% 5/1/18 CAD 90,010 65,686
  Canada 0.500% 8/1/18 CAD 51,600 37,722
  Canada 0.500% 11/1/18 CAD 78,300 57,210
  Canada 0.500% 2/1/19 CAD 85,000 62,059
  Canada 0.500% 3/1/22 CAD 5,530 3,955
  Canada 0.750% 5/1/19 CAD 50,000 36,641
  Canada 0.750% 9/1/20 CAD 41,720 30,463
  Canada 0.750% 3/1/21 CAD 45,240 32,950
  Canada 0.750% 9/1/21 CAD 20,365 14,789
  Canada 1.000% 6/1/27 CAD 17,818 12,397
  Canada 1.250% 9/1/18 CAD 30,000 22,146
  Canada 1.500% 3/1/20 CAD 69,175 51,677
  Canada 1.500% 6/1/23 CAD 71,371 53,319
  Canada 1.500% 6/1/26 CAD 41,750 30,748
  Canada 1.750% 3/1/19 CAD 35,860 26,772
  Canada 1.750% 9/1/19 CAD 47,970 35,962
  Canada 2.250% 6/1/25 CAD 41,240 32,314
  Canada 2.500% 6/1/24 CAD 45,609 36,242
  Canada 2.750% 6/1/22 CAD 70,100 55,663
  Canada 2.750% 12/1/48 CAD 23,978 19,922
  Canada 2.750% 12/1/64 CAD 14,414 12,513
  Canada 3.250% 6/1/21 CAD 32,455 25,985
  Canada 3.500% 1/13/20 EUR 2,000 2,410
  Canada 3.500% 6/1/20 CAD 45,000 35,652
  Canada 3.500% 12/1/45 CAD 89,194 83,345
  Canada 3.750% 6/1/19 CAD 64,510 50,204
  Canada 4.000% 6/1/41 CAD 55,660 54,676
  Canada 4.250% 6/1/18 CAD 86,105 65,522
  Canada 5.000% 6/1/37 CAD 61,390 66,249
  Canada 5.750% 6/1/29 CAD 37,584 39,568
  Canada 5.750% 6/1/33 CAD 99,523 110,886
  Canada 8.000% 6/1/23 CAD 6,000 6,157
  Canada 8.000% 6/1/27 CAD 7,000 8,219
  Canada 10.500% 3/15/21 CAD 15,000 14,993
2 Canada Housing Trust No 1 1.150% 12/15/21 CAD 75,854 55,208
2 Canada Housing Trust No 1 1.200% 6/15/20 CAD 9,050 6,657
2 Canada Housing Trust No 1 1.250% 12/15/20 CAD 30,000 22,036
2,5 Canada Housing Trust No 1 1.250% 6/15/21 CAD 30,000 22,035
2 Canada Housing Trust No 1 1.450% 6/15/20 CAD 15,000 11,118
2 Canada Housing Trust No 1 1.500% 12/15/21 CAD 600 444
2,5 Canada Housing Trust No 1 1.750% 6/15/18 CAD 20,175 14,941
2 Canada Housing Trust No 1 1.750% 6/15/22 CAD 30,000 22,291
2 Canada Housing Trust No 1 1.900% 9/15/26 CAD 31,950 23,342
2 Canada Housing Trust No 1 1.950% 6/15/19 CAD 78,000 58,419
2 Canada Housing Trust No 1 1.950% 12/15/25 CAD 20,000 14,661
2 Canada Housing Trust No 1 2.000% 12/15/19 CAD 43,800 32,941
2 Canada Housing Trust No 1 2.050% 6/15/18 CAD 10,000 7,430
2 Canada Housing Trust No 1 2.250% 12/15/25 CAD 5,225 3,921
2 Canada Housing Trust No 1 2.350% 12/15/18 CAD 45,000 33,794
2 Canada Housing Trust No 1 2.350% 9/15/23 CAD 210 161
2 Canada Housing Trust No 1 2.350% 6/15/27 CAD 10,000 7,536
2 Canada Housing Trust No 1 2.400% 12/15/22 CAD 10,000 7,696
2 Canada Housing Trust No 1 2.550% 3/15/25 CAD 13,000 10,008
2 Canada Housing Trust No 1 2.650% 3/15/22 CAD 16,500 12,785

 

21


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
2 Canada Housing Trust No 1 2.900% 6/15/24 CAD 14,000 11,102
2 Canada Housing Trust No 1 3.150% 9/15/23 CAD 30,000 24,056
2 Canada Housing Trust No 1 3.350% 12/15/20 CAD 12,000 9,467
2,5 Canada Housing Trust No 1 3.750% 3/15/20 CAD 10,000 7,891
2 Canada Housing Trust No 1 3.800% 6/15/21 CAD 25,000 20,416
2,5 Canada Housing Trust No 1 4.100% 12/15/18 CAD 9,800 7,562
5 Canada Post Corp. 4.360% 7/16/40 CAD 3,650 3,312
  CDP Financial Inc. 4.600% 7/15/20 CAD 350 282
  City of Montreal 3.000% 9/1/25 CAD 7,000 5,386
  City of Montreal 3.500% 9/1/23 CAD 7,450 5,931
  City of Montreal 4.100% 12/1/34 CAD 3,175 2,605
  City of Montreal 5.000% 12/1/18 CAD 400 311
  City of Toronto 2.950% 4/28/35 CAD 6,250 4,419
  City of Toronto 3.900% 9/29/23 CAD 4,742 3,867
  City of Toronto 4.150% 3/10/44 CAD 4,950 4,109
  City of Toronto 4.500% 12/2/19 CAD 5,000 3,964
  City of Toronto 4.700% 6/10/41 CAD 2,000 1,783
  City of Toronto 5.200% 6/1/40 CAD 1,220 1,156
  CPPIB Capital Inc. 1.400% 6/4/20 CAD 700 515
  Export Development Canada 1.375% 12/16/19 GBP 3,500 4,644
  Export Development Canada 1.875% 12/17/18 GBP 3,000 3,979
  Export Development Canada 2.400% 6/7/21 AUD 20,564 15,352
  Export Development Canada 3.500% 6/5/19 AUD 10,000 7,702
  Financement-Quebec 2.450% 12/1/19 CAD 9,240 6,995
  Financement-Quebec 5.250% 6/1/34 CAD 3,000 2,867
  Hydro One Inc. 1.840% 2/24/21 CAD 400 297
  Hydro One Inc. 2.770% 2/24/26 CAD 4,800 3,659
  Hydro One Inc. 2.780% 10/9/18 CAD 2,000 1,500
  Hydro One Inc. 3.200% 1/13/22 CAD 350 275
  Hydro One Inc. 3.720% 11/18/47 CAD 1,441 1,110
  Hydro One Inc. 3.790% 7/31/62 CAD 2,000 1,535
  Hydro One Inc. 4.390% 9/26/41 CAD 5,115 4,312
  Hydro One Inc. 4.400% 6/1/20 CAD 3,000 2,396
  Hydro One Inc. 4.590% 10/9/43 CAD 5,500 4,822
  Hydro One Inc. 5.360% 5/20/36 CAD 1,000 930
  Hydro One Inc. 5.490% 7/16/40 CAD 3,525 3,415
  Hydro One Inc. 6.930% 6/1/32 CAD 1,000 1,045
  Hydro-Quebec 1.000% 5/25/19 CAD 9,840 7,203
  Hydro-Quebec 4.000% 2/15/55 CAD 1,270 1,131
  Hydro-Quebec 5.000% 2/15/45 CAD 18,950 18,858
  Hydro-Quebec 5.000% 2/15/50 CAD 24,900 25,525
  Hydro-Quebec 6.000% 8/15/31 CAD 4,270 4,330
  Hydro-Quebec 6.000% 2/15/40 CAD 15,915 17,271
  Hydro-Quebec 6.500% 1/16/35 CAD 155 170
  Hydro-Quebec 6.500% 2/15/35 CAD 14,000 15,293
  Hydro-Quebec 9.625% 7/15/22 CAD 12,000 12,267
  Hydro-Quebec 10.500% 10/15/21 CAD 2,000 2,030
  Hydro-Quebec 11.000% 8/15/20 CAD 450 432
2,5 Labrador-Island Link Funding Trust 3.760% 6/1/33 CAD 3,000 2,488
2,5 Labrador-Island Link Funding Trust 3.850% 12/1/53 CAD 2,070 1,818
2,5 Labrador-Island Link Funding Trust 3.860% 12/1/45 CAD 3,790 3,261
5 Maritime Link Financing Trust 3.500% 12/1/52 CAD 7,372 5,781
  Municipal Finance Authority of British Columbia 1.650% 4/19/21 CAD 4,500 3,318
  Municipal Finance Authority of British Columbia 2.050% 6/2/19 CAD 7,150 5,339
  Municipal Finance Authority of British Columbia 2.500% 4/19/26 CAD 1,850 1,389

 

22


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
  Municipal Finance Authority of British Columbia 2.950% 10/14/24 CAD 6,000 4,657
  Municipal Finance Authority of British Columbia 4.150% 6/1/21 CAD 4,050 3,275
  Municipal Finance Authority of British Columbia 4.450% 6/1/20 CAD 400 320
2,5 Muskrat Falls / Labrador Transmission Assets          
  Funding Trust 3.630% 6/1/29 CAD 5,300 4,361
2,5 Muskrat Falls / Labrador Transmission Assets          
  Funding Trust 3.830% 6/1/37 CAD 1,000 837
2,5 Muskrat Falls / Labrador Transmission Assets          
  Funding Trust 3.860% 12/1/48 CAD 3,500 3,037
  Newfoundland & Labrador Hydro 3.600% 12/1/45 CAD 1,500 1,124
  Newfoundland & Labrador Hydro 6.650% 8/27/31 CAD 2,000 2,021
  Ontario Electricity Financial Corp. 8.250% 6/22/26 CAD 7,000 7,599
  Ontario Electricity Financial Corp. 8.900% 8/18/22 CAD 10,250 10,202
  Ontario Electricity Financial Corp. 10.125% 10/15/21 CAD 2,500 2,494
  OPB Finance Trust 2.980% 1/25/27 CAD 5,000 3,820
  Province of Alberta 1.000% 11/15/21 GBP 2,500 3,263
  Province of Alberta 1.250% 6/1/20 CAD 15,900 11,656
  Province of Alberta 1.350% 9/1/21 CAD 12,000 8,744
  Province of Alberta 2.200% 6/1/26 CAD 20,000 14,617
  Province of Alberta 2.350% 6/1/25 CAD 9,300 6,930
  Province of Alberta 2.550% 6/1/27 CAD 8,000 5,964
  Province of Alberta 2.900% 9/20/29 CAD 6,000 4,530
  Province of Alberta 3.300% 12/1/46 CAD 19,165 14,377
  Province of Alberta 3.450% 12/1/43 CAD 14,075 10,835
  Province of Alberta 3.900% 12/1/33 CAD 2,000 1,649
  Province of Alberta 4.500% 12/1/40 CAD 5,000 4,501
  Province of British Columbia 2.300% 6/18/26 CAD 15,000 11,166
  Province of British Columbia 2.550% 6/18/27 CAD 3,500 2,642
  Province of British Columbia 2.700% 12/18/22 CAD 4,902 3,799
  Province of British Columbia 2.800% 6/18/48 CAD 13,908 9,815
  Province of British Columbia 2.850% 6/18/25 CAD 5,185 4,049
  Province of British Columbia 3.200% 6/18/44 CAD 12,800 9,718
  Province of British Columbia 3.250% 12/18/21 CAD 2,270 1,799
  Province of British Columbia 3.300% 12/18/23 CAD 11,000 8,818
  Province of British Columbia 4.100% 12/18/19 CAD 25,000 19,755
  Province of British Columbia 4.300% 6/18/42 CAD 10,725 9,668
  Province of British Columbia 4.650% 12/18/18 CAD 2,270 1,766
  Province of British Columbia 4.700% 6/18/37 CAD 3,200 2,974
  Province of British Columbia 4.900% 6/18/48 CAD 3,000 3,045
  Province of British Columbia 4.950% 6/18/40 CAD 7,000 6,815
  Province of British Columbia 5.700% 6/18/29 CAD 13,500 13,217
  Province of British Columbia 6.350% 6/18/31 CAD 15,000 15,811
  Province of Manitoba 1.600% 9/5/20 CAD 3,000 2,221
  Province of Manitoba 2.450% 6/2/25 CAD 7,000 5,257
  Province of Manitoba 2.550% 6/2/26 CAD 19,000 14,391
  Province of Manitoba 2.850% 9/5/46 CAD 8,000 5,472
  Province of Manitoba 3.150% 9/5/52 CAD 2,750 1,991
  Province of Manitoba 3.250% 9/5/29 CAD 2,270 1,774
  Province of Manitoba 3.300% 6/2/24 CAD 3,000 2,392
  Province of Manitoba 3.350% 3/5/43 CAD 2,000 1,501
  Province of Manitoba 3.400% 9/5/48 CAD 4,000 3,068
  Province of Manitoba 4.050% 9/5/45 CAD 5,000 4,237
  Province of Manitoba 4.100% 3/5/41 CAD 5,000 4,221
  Province of Manitoba 4.150% 6/3/20 CAD 6,000 4,783
  Province of Manitoba 4.400% 9/5/25 CAD 3,500 2,996

 

23


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Province of Manitoba 4.600% 3/5/38 CAD 3,000 2,691
Province of Manitoba 4.650% 3/5/40 CAD 4,000 3,634
Province of Manitoba 4.700% 3/5/50 CAD 235 224
Province of Manitoba 4.750% 2/11/20 CAD 5,250 4,222
Province of Manitoba 5.700% 3/5/37 CAD 3,000 3,024
Province of New Brunswick 2.600% 8/14/26 CAD 10,000 7,492
Province of New Brunswick 2.850% 6/2/23 CAD 5,000 3,873
Province of New Brunswick 3.550% 6/3/43 CAD 3,000 2,282
Province of New Brunswick 3.650% 6/3/24 CAD 11,000 8,935
Province of New Brunswick 3.800% 8/14/45 CAD 7,965 6,325
Province of New Brunswick 4.550% 3/26/37 CAD 7,000 6,104
Province of New Brunswick 4.800% 9/26/39 CAD 2,420 2,197
Province of New Brunswick 4.800% 6/3/41 CAD 2,990 2,730
Province of Newfoundland and Labrador 2.300% 6/2/25 CAD 5,000 3,663
Province of Newfoundland and Labrador 3.000% 6/2/26 CAD 6,000 4,581
Province of Newfoundland and Labrador 3.300% 10/17/46 CAD 8,950 6,371
Province of Newfoundland and Labrador 3.700% 10/17/48 CAD 2,925 2,258
Province of Newfoundland and Labrador 4.650% 10/17/40 CAD 2,270 1,991
Province of Newfoundland and Labrador 6.150% 4/17/28 CAD 1,000 965
Province of Nova Scotia 2.100% 6/1/27 CAD 16,000 11,439
Province of Nova Scotia 3.450% 6/1/45 CAD 3,000 2,294
Province of Nova Scotia 3.500% 6/2/62 CAD 5,270 4,121
Province of Nova Scotia 4.100% 6/1/21 CAD 8,000 6,481
Province of Nova Scotia 4.150% 11/25/19 CAD 250 197
Province of Nova Scotia 4.400% 6/1/42 CAD 2,000 1,766
Province of Nova Scotia 4.700% 6/1/41 CAD 2,000 1,836
Province of Nova Scotia 5.800% 6/1/33 CAD 2,000 1,986
Province of Ontario 0.875% 1/21/25 EUR 5,000 5,569
Province of Ontario 1.350% 3/8/22 CAD 35,000 25,504
Province of Ontario 1.750% 10/9/18 CAD 20,000 14,833
Province of Ontario 1.875% 5/21/24 EUR 5,000 5,969
Province of Ontario 2.100% 9/8/18 CAD 10,000 7,452
Province of Ontario 2.100% 9/8/19 CAD 11,500 8,630
Province of Ontario 2.375% 5/7/20 CHF 1,100 1,201
Province of Ontario 2.400% 6/2/26 CAD 28,280 21,087
Province of Ontario 2.600% 6/2/25 CAD 53,465 40,730
Province of Ontario 2.600% 6/2/27 CAD 5,000 3,761
Province of Ontario 2.800% 6/2/48 CAD 42,550 29,714
Province of Ontario 2.850% 6/2/23 CAD 35,090 27,307
Province of Ontario 2.900% 12/2/46 CAD 55,467 39,393
Province of Ontario 3.000% 9/28/20 EUR 7,750 9,351
Province of Ontario 3.150% 6/2/22 CAD 73,000 57,497
Province of Ontario 3.450% 6/2/45 CAD 61,735 48,574
Province of Ontario 3.500% 6/2/24 CAD 46,250 37,411
Province of Ontario 3.500% 6/2/43 CAD 44,000 34,791
Province of Ontario 4.000% 12/3/19 EUR 35,000 42,345
Province of Ontario 4.000% 6/2/21 CAD 23,470 18,959
Province of Ontario 4.200% 6/2/20 CAD 48,000 38,318
Province of Ontario 4.400% 6/2/19 CAD 30,000 23,508
Province of Ontario 4.600% 6/2/39 CAD 34,000 31,265
Province of Ontario 4.650% 6/2/41 CAD 39,675 37,018
Province of Ontario 4.700% 6/2/37 CAD 29,700 27,410
Province of Ontario 4.850% 6/2/20 CAD 10,000 8,130
Province of Ontario 5.600% 6/2/35 CAD 30,000 30,249
Province of Ontario 5.850% 3/8/33 CAD 14,750 14,986

 

24


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Province of Ontario 6.200% 6/2/31 CAD 13,000 13,474
Province of Ontario 6.250% 9/29/20 AUD 9,535 7,938
Province of Ontario 6.500% 3/8/29 CAD 16,560 17,090
Province of Ontario 7.600% 6/2/27 CAD 15,000 16,099
Province of Prince Edward Island 3.600% 1/17/53 CAD 2,994 2,260
Province of Quebec 0.875% 1/15/25 EUR 4,000 4,454
Province of Quebec 1.650% 3/3/22 CAD 15,000 11,062
Province of Quebec 2.250% 7/17/23 EUR 12,500 15,214
Province of Quebec 2.375% 1/22/24 EUR 1,000 1,230
Province of Quebec 2.500% 9/1/26 CAD 37,500 28,088
Province of Quebec 2.750% 9/1/25 CAD 28,480 21,971
Province of Quebec 2.750% 9/1/27 CAD 15,000 11,442
Province of Quebec 3.000% 9/1/23 CAD 20,240 15,902
Province of Quebec 3.500% 12/1/22 CAD 22,220 17,876
Province of Quebec 3.500% 12/1/45 CAD 36,425 28,868
Province of Quebec 3.500% 12/1/48 CAD 27,850 22,344
Province of Quebec 3.750% 9/1/24 CAD 19,650 16,178
Province of Quebec 4.250% 12/1/21 CAD 15,000 12,348
Province of Quebec 4.250% 12/1/43 CAD 34,125 30,377
Province of Quebec 4.500% 12/1/18 CAD 5,140 3,980
Province of Quebec 4.500% 12/1/19 CAD 13,000 10,349
Province of Quebec 4.500% 12/1/20 CAD 22,500 18,345
Province of Quebec 5.000% 4/29/19 EUR 9,300 11,204
Province of Quebec 5.000% 12/1/38 CAD 16,900 16,347
Province of Quebec 5.000% 12/1/41 CAD 30,690 30,043
Province of Quebec 5.350% 6/1/25 CAD 5,000 4,540
Province of Quebec 5.750% 12/1/36 CAD 17,240 17,924
Province of Quebec 6.000% 10/1/29 CAD 15,000 15,033
Province of Quebec 6.250% 6/1/32 CAD 10,370 10,877
Province of Quebec 8.500% 4/1/26 CAD 10,000 11,043
Province of Quebec 9.375% 1/16/23 CAD 3,000 3,115
Province of Saskatchewan 2.550% 6/2/26 CAD 4,875 3,675
Province of Saskatchewan 2.750% 12/2/46 CAD 11,950 8,115
Province of Saskatchewan 3.200% 6/3/24 CAD 9,500 7,546
Province of Saskatchewan 3.300% 6/2/48 CAD 5,935 4,514
Province of Saskatchewan 3.400% 2/3/42 CAD 3,500 2,676
Province of Saskatchewan 3.750% 3/5/54 CAD 2,795 2,313
Province of Saskatchewan 4.750% 6/1/40 CAD 2,400 2,226
Province of Saskatchewan 5.000% 3/5/37 CAD 240 225
Province of Saskatchewan 5.750% 3/5/29 CAD 3,000 2,901
PSP Capital Inc. 2.090% 11/22/23 CAD 4,000 2,968
PSP Capital Inc. 3.290% 4/4/24 CAD 5,375 4,280
Regional Municipality of Peel Ontario 5.100% 6/29/40 CAD 1,600 1,506
Regional Municipality of York 2.500% 6/2/26 CAD 3,000 2,221
Regional Municipality of York 2.600% 12/15/25 CAD 5,000 3,746
Regional Municipality of York 4.050% 5/1/34 CAD 2,400 1,960
          3,577,818
Total Canada (Cost $4,796,703)         4,513,829
Chile (0.0%)          
Sovereign Bonds (0.0%)          
2 Corp. Nacional del Cobre de Chile 2.250% 7/9/24 EUR 3,000 3,411
Republic of Chile 1.625% 1/30/25 EUR 4,000 4,633
Republic of Chile 1.875% 5/27/30 EUR 5,900 6,784
Total Chile (Cost $15,403)         14,828

 

25


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
China (0.1%)          
Sovereign Bonds (0.1%)          
China Development Bank Corp. 0.125% 11/3/19 EUR 500 542
China Development Bank Corp. 0.500% 6/1/21 EUR 3,000 3,276
Export-Import Bank of China 0.250% 12/2/19 EUR 30,000 32,681
Export-Import Bank of China 0.375% 4/26/19 EUR 18,100 19,802
Sinopec Group Overseas Development 2013          
Ltd. 2.625% 10/17/20 EUR 2,350 2,741
2 Sinopec Group Overseas Development 2015          
Ltd. 1.000% 4/28/22 EUR 1,000 1,099
State Grid Europe Development 2014 plc 2.450% 1/26/27 EUR 2,240 2,559
Total China (Cost $61,102)         62,700
Czech Republic (0.2%)          
Sovereign Bonds (0.2%)          
CEZ AS 3.000% 6/5/28 EUR 500 621
CEZ AS 4.500% 6/29/20 EUR 550 679
CEZ AS 4.875% 4/16/25 EUR 3,500 4,863
CEZ AS 5.000% 10/19/21 EUR 2,000 2,619
Czech Republic 0.450% 10/25/23 CZK 100,000 4,044
Czech Republic 0.950% 5/15/30 CZK 150,000 5,867
Czech Republic 1.500% 10/29/19 CZK 450,000 18,938
Czech Republic 2.400% 9/17/25 CZK 250,000 11,479
Czech Republic 2.500% 8/25/28 CZK 320,000 14,938
Czech Republic 3.625% 4/14/21 EUR 3,000 3,746
Czech Republic 3.750% 9/12/20 CZK 489,910 22,284
Czech Republic 3.850% 9/29/21 CZK 350,000 16,490
Czech Republic 3.875% 5/24/22 EUR 2,000 2,584
Czech Republic 4.125% 3/18/20 EUR 7,000 8,581
Czech Republic 4.200% 12/4/36 CZK 50,000 2,942
Czech Republic 4.600% 8/18/18 CZK 100,000 4,317
Czech Republic 4.700% 9/12/22 CZK 130,000 6,528
Czech Republic 4.850% 11/26/57 CZK 80,000 5,269
Czech Republic 5.000% 6/11/18 EUR 9,000 10,382
Czech Republic 5.000% 4/11/19 CZK 250,000 11,151
Czech Republic 5.700% 5/25/24 CZK 220,000 12,165
Total Czech Republic (Cost $177,858)         170,487
Denmark (0.8%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.3%)        
BRFkredit A/S 0.250% 4/1/21 EUR 10,800 11,843
BRFkredit A/S 0.250% 7/1/23 EUR 8,000 8,662
BRFkredit A/S 0.500% 10/1/26 EUR 3,500 3,704
Danske Bank A/S 0.125% 3/9/21 EUR 2,300 2,521
Danske Bank A/S 0.250% 6/4/20 EUR 3,800 4,187
Danske Bank A/S 0.375% 8/26/19 EUR 6,000 6,628
Danske Bank A/S 1.250% 6/11/21 EUR 10,000 11,456
Danske Bank A/S 1.625% 2/28/20 EUR 5,000 5,722
Danske Bank A/S 3.750% 6/23/22 EUR 500 646
Danske Bank A/S 4.125% 11/26/19 EUR 1,000 1,210
Nordea Kredit Realkreditaktieselskab 1.000% 10/1/21 DKK 200,000 30,344
Nordea Kredit Realkreditaktieselskab 3.500% 10/1/44 DKK 2,520 393
Nykredit Realkredit A/S 1.000% 7/1/21 DKK 100,000 15,159
Nykredit Realkredit A/S 1.000% 1/1/22 DKK 600,000 90,836
Nykredit Realkredit A/S 1.750% 1/28/19 EUR 5,000 5,615

 

26


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Nykredit Realkredit A/S 2.000% 10/1/18 DKK 20,000 3,020
Nykredit Realkredit A/S 2.000% 10/1/47 DKK 67,468 9,666
Realkredit Danmark A/S 1.000% 4/1/19 DKK 230,000 34,436
Realkredit Danmark A/S 4.000% 10/1/41 DKK 725 115
          246,163
Corporate Bonds (0.1%)          
AP Moeller - Maersk A/S 1.750% 3/18/21 EUR 10,000 11,373
AP Moeller - Maersk A/S 3.375% 8/28/19 EUR 2,000 2,339
AP Moeller - Maersk A/S 4.000% 4/4/25 GBP 4,500 6,220
Carlsberg Breweries A/S 2.625% 7/3/19 EUR 3,000 3,449
Danske Bank A/S 0.125% 2/14/22 EUR 11,000 12,009
Danske Bank A/S 0.500% 5/6/21 EUR 6,000 6,615
1 Danske Bank A/S 2.750% 5/19/26 EUR 9,000 10,475
1 Danske Bank A/S 5.375% 9/29/21 GBP 600 818
ISS Global A/S 1.125% 1/9/20 EUR 19,188 21,363
ISS Global A/S 1.125% 1/7/21 EUR 5,000 5,579
ISS Global A/S 2.125% 12/2/24 EUR 500 583
1 Nykredit Realkredit A/S 2.750% 11/17/27 EUR 7,500 8,547
TDC A/S 1.750% 2/27/27 EUR 5,500 6,012
TDC A/S 5.625% 2/23/23 GBP 3,100 4,639
          100,021
Sovereign Bonds (0.4%)          
DONG Energy A/S 2.625% 9/19/22 EUR 1,000 1,209
DONG Energy A/S 4.875% 12/16/21 EUR 3,000 3,948
DONG Energy A/S 4.875% 1/12/32 GBP 1,000 1,637
DONG Energy A/S 4.875% 7/8/49 EUR 1,500 1,711
DONG Energy A/S 5.750% 4/9/40 GBP 4,000 7,561
1 DONG Energy A/S 6.250% 6/26/13 EUR 1,045 1,333
DONG Energy A/S 6.500% 5/7/19 EUR 1,000 1,232
Kingdom of Denmark 0.250% 11/15/18 DKK 80,000 11,873
Kingdom of Denmark 0.500% 11/15/27 DKK 290,000 42,100
Kingdom of Denmark 1.500% 11/15/23 DKK 240,100 38,623
Kingdom of Denmark 1.750% 11/15/25 DKK 174,000 28,648
Kingdom of Denmark 3.000% 11/15/21 DKK 287,000 48,322
Kingdom of Denmark 4.000% 11/15/19 DKK 85,000 13,909
Kingdom of Denmark 4.500% 11/15/39 DKK 512,950 126,931
Kingdom of Denmark 7.000% 11/10/24 DKK 73,860 16,445
Kommunekredit 0.250% 3/29/23 EUR 700 763
Kommunekredit 0.250% 2/16/24 EUR 2,000 2,160
          348,405
Total Denmark (Cost $702,155)         694,589
Finland (0.7%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.2%)        
Aktia Bank plc 1.125% 6/25/18 EUR 1,200 1,329
Danske Bank Oyj 0.250% 11/26/20 EUR 10,000 11,024
Danske Bank Oyj 3.875% 6/21/21 EUR 2,000 2,526
Nordea Mortgage Bank plc 0.250% 11/21/23 EUR 5,000 5,429
Nordea Mortgage Bank plc 0.625% 3/17/27 EUR 13,000 13,990
Nordea Mortgage Bank plc 1.000% 11/5/24 EUR 5,800 6,590
Nordea Mortgage Bank plc 1.375% 8/28/18 EUR 10,000 11,141
Nordea Mortgage Bank plc 1.375% 1/15/20 EUR 11,400 12,950
Nordea Mortgage Bank plc 2.250% 5/3/19 EUR 4,350 4,975
Nordea Mortgage Bank plc 4.000% 2/10/21 EUR 11,000 13,816

 

27


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
OP Mortgage Bank 0.625% 9/4/22 EUR 20,000 22,346
OP Mortgage Bank 0.750% 6/11/19 EUR 10,000 11,128
OP Mortgage Bank 1.500% 3/17/21 EUR 10,000 11,547
OP Mortgage Bank 3.500% 7/11/18 EUR 500 570
          129,361
Corporate Bonds (0.0%)          
Citycon Oyj 3.750% 6/24/20 EUR 500 601
Nordea Mortgage Bank plc 0.625% 10/19/22 EUR 300 335
OP Corporate Bank plc 0.750% 3/3/22 EUR 1,000 1,109
OP Corporate Bank plc 0.875% 6/21/21 EUR 8,000 8,943
OP Corporate Bank plc 1.250% 5/14/18 EUR 5,825 6,437
OP Corporate Bank plc 2.000% 3/3/21 EUR 3,000 3,492
OP Mortgage Bank 0.250% 5/11/23 EUR 6,745 7,351
Sampo Oyj 1.000% 9/18/23 EUR 500 547
Sampo Oyj 1.500% 9/16/21 EUR 5,800 6,586
          35,401
Sovereign Bonds (0.5%)          
Fortum Oyj 2.250% 9/6/22 EUR 9,500 11,187
Fortum Oyj 4.000% 5/24/21 EUR 5,000 6,229
Fortum Oyj 6.000% 3/20/19 EUR 1,000 1,211
2 Republic of Finland 0.000% 4/15/22 EUR 25,000 27,510
2 Republic of Finland 0.000% 9/15/23 EUR 23,250 25,258
2 Republic of Finland 0.375% 9/15/20 EUR 45,000 50,359
2 Republic of Finland 0.500% 4/15/26 EUR 15,000 16,437
2 Republic of Finland 0.750% 4/15/31 EUR 24,700 26,507
2 Republic of Finland 0.875% 9/15/25 EUR 10,000 11,377
Republic of Finland 1.000% 12/17/18 GBP 2,000 2,614
2 Republic of Finland 1.125% 9/15/18 EUR 9,000 10,048
2 Republic of Finland 1.375% 4/15/47 EUR 10,000 11,202
Republic of Finland 1.500% 12/19/19 GBP 1,950 2,596
2 Republic of Finland 1.500% 4/15/23 EUR 35,000 41,558
2 Republic of Finland 1.625% 9/15/22 EUR 7,000 8,337
2 Republic of Finland 2.000% 4/15/24 EUR 28,850 35,448
2 Republic of Finland 2.625% 7/4/42 EUR 13,000 18,711
2 Republic of Finland 2.750% 7/4/28 EUR 11,228 15,033
2 Republic of Finland 3.375% 4/15/20 EUR 18,000 21,865
2 Republic of Finland 3.500% 4/15/21 EUR 13,000 16,329
2 Republic of Finland 4.000% 7/4/25 EUR 10,363 14,676
2 Republic of Finland 4.375% 7/4/19 EUR 14,000 16,912
          391,404
Total Finland (Cost $574,599)         556,166
France (11.4%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.9%)        
AXA Bank Europe SCF 1.875% 9/20/19 EUR 9,000 10,298
BNP Paribas Home Loan SFH 0.875% 11/14/24 EUR 5,000 5,633
BNP Paribas Home Loan SFH 1.375% 6/17/20 EUR 7,500 8,573
BNP Paribas Home Loan SFH 3.125% 3/22/22 EUR 7,000 8,766
BNP Paribas Home Loan SFH 3.750% 4/20/20 EUR 3,000 3,653
BNP Paribas Home Loan SFH SA 0.250% 9/2/21 EUR 9,000 9,915
BPCE SFH SA 0.375% 7/28/20 EUR 700 775
BPCE SFH SA 1.000% 2/24/25 EUR 5,000 5,622
BPCE SFH SA 1.500% 1/30/20 EUR 5,000 5,699
BPCE SFH SA 1.750% 6/27/24 EUR 20,000 23,713
BPCE SFH SA 2.125% 9/17/20 EUR 15,000 17,573

 

28


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
BPCE SFH SA 2.375% 11/29/23 EUR 5,000 6,151
BPCE SFH SA 3.750% 9/13/21 EUR 6,300 7,969
BPCE SFH SA 4.000% 3/23/22 EUR 3,000 3,883
Caisse de Refinancement de l’Habitat SA 1.375% 10/25/19 EUR 11,500 13,035
Caisse de Refinancement de l’Habitat SA 2.400% 1/17/25 EUR 1,000 1,249
Caisse de Refinancement de l’Habitat SA 2.500% 3/29/21 CHF 1,000 1,113
Caisse de Refinancement de l’Habitat SA 3.300% 9/23/22 EUR 9,500 12,140
Caisse de Refinancement de l’Habitat SA 3.500% 6/22/20 EUR 5,000 6,078
Caisse de Refinancement de l’Habitat SA 3.600% 9/13/21 EUR 2,000 2,524
Caisse de Refinancement de l’Habitat SA 3.600% 3/8/24 EUR 10,600 14,097
Caisse de Refinancement de l’Habitat SA 3.750% 2/19/20 EUR 15,000 18,155
Caisse de Refinancement de l’Habitat SA 3.900% 10/20/23 EUR 5,000 6,721
Caisse de Refinancement de l’Habitat SA 4.000% 6/17/22 EUR 19,870 25,994
Caisse de Refinancement de l’Habitat SA 4.300% 2/24/23 EUR 7,000 9,452
Caisse de Refinancement de l’Habitat SA 5.000% 4/8/19 EUR 3,000 3,605
Caisse Francaise de Financement Local 0.200% 4/27/23 EUR 15,600 16,907
Caisse Francaise de Financement Local 0.375% 9/16/19 EUR 3,000 3,316
Caisse Francaise de Financement Local 0.625% 1/26/23 EUR 17,300 19,262
Caisse Francaise de Financement Local 1.125% 9/9/25 EUR 12,000 13,612
Caisse Francaise de Financement Local 1.250% 1/22/35 EUR 500 521
Caisse Francaise de Financement Local 1.750% 7/16/20 EUR 10,000 11,560
Caisse Francaise de Financement Local 2.375% 1/17/24 EUR 12,000 14,808
Caisse Francaise de Financement Local 3.000% 10/2/28 EUR 9,500 12,530
Caisse Francaise de Financement Local 3.500% 9/24/20 EUR 8,551 10,466
Caisse Francaise de Financement Local 4.250% 1/26/21 EUR 7,000 8,859
Caisse Francaise de Financement Local 4.250% 1/26/22 EUR 3,000 3,911
Caisse Francaise de Financement Local 5.375% 7/8/24 EUR 4,000 5,874
Cie de Financement Foncier SA 0.250% 3/16/22 EUR 16,000 17,501
Cie de Financement Foncier SA 0.500% 9/4/24 EUR 10,000 10,873
Cie de Financement Foncier SA 0.625% 2/10/23 EUR 22,000 24,399
Cie de Financement Foncier SA 0.750% 1/21/25 EUR 16,000 17,594
Cie de Financement Foncier SA 1.125% 3/11/19 EUR 10,500 11,741
Cie de Financement Foncier SA 2.000% 5/7/24 EUR 14,000 16,840
Cie de Financement Foncier SA 2.250% 10/13/21 CHF 3,000 3,352
Cie de Financement Foncier SA 2.375% 8/24/18 CHF 14,000 14,610
Cie de Financement Foncier SA 2.375% 11/21/22 EUR 5,800 7,058
Cie de Financement Foncier SA 3.500% 11/5/20 EUR 19,400 23,797
Cie de Financement Foncier SA 3.875% 4/25/55 EUR 4,000 6,247
Cie de Financement Foncier SA 4.000% 10/24/25 EUR 15,300 21,161
Cie de Financement Foncier SA 4.250% 1/19/22 EUR 1,000 1,301
Cie de Financement Foncier SA 4.375% 4/15/21 EUR 8,128 10,391
Cie de Financement Foncier SA 4.500% 5/16/18 EUR 2,600 2,974
Cie de Financement Foncier SA 4.875% 5/25/21 EUR 16,544 21,578
Cie de Financement Foncier SA 5.500% 1/26/27 GBP 2,350 4,022
Cie de Financement Foncier SA 5.750% 10/4/21 EUR 500 681
CIF Euromortgage SA 3.750% 10/23/19 EUR 7,000 8,371
Credit Agricole Home Loan SFH 0.625% 11/28/22 EUR 15,000 16,737
Credit Agricole Home Loan SFH 1.250% 3/24/31 EUR 8,000 8,771
Credit Agricole Home Loan SFH 1.625% 3/11/20 EUR 8,400 9,633
Credit Agricole Home Loan SFH 3.500% 6/14/18 EUR 2,000 2,272
Credit Agricole Home Loan SFH 3.875% 1/12/21 EUR 7,500 9,374
Credit Agricole Home Loan SFH 4.000% 1/17/22 EUR 5,000 6,459
Credit Agricole Home Loan SFH 4.000% 7/16/25 EUR 2,000 2,780
Credit Agricole Home Loan SFH SA 0.375% 10/21/21 EUR 10,000 11,076
Credit Agricole Home Loan SFH SA 0.625% 9/11/23 EUR 2,000 2,220
Credit Agricole Public Sector SCF 1.875% 9/20/19 EUR 1,500 1,718

 

29


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Credit Agricole Public Sector SCF 1.875% 6/7/23 EUR 6,200 7,407
Credit Mutuel - CIC Home Loan SFH 0.500% 1/21/22 EUR 5,000 5,553
Credit Mutuel - CIC Home Loan SFH 1.125% 2/6/19 EUR 6,300 7,040
Credit Mutuel - CIC Home Loan SFH 1.375% 4/22/20 EUR 6,500 7,413
Credit Mutuel - CIC Home Loan SFH 2.500% 9/11/23 EUR 3,000 3,718
Credit Mutuel - CIC Home Loan SFH 4.125% 1/16/23 EUR 6,100 8,116
Credit Mutuel - CIC Home Loan SFH SA 4.125% 1/19/24 EUR 1,000 1,361
Credit Mutuel - CIC Home Loan SFH SA 4.375% 3/17/21 EUR 1,400 1,788
Credit Mutuel Arkea Home Loans SFH 2.375% 7/11/23 EUR 6,000 7,366
HSBC SFH France SA 0.375% 3/11/22 EUR 5,000 5,536
HSBC SFH France SA 1.875% 10/28/20 EUR 2,000 2,334
HSBC SFH France SA 2.000% 10/16/23 EUR 2,500 3,024
La Banque Postale Home Loan SFH 0.175% 4/22/22 EUR 5,000 5,480
La Banque Postale Home Loan SFH 2.375% 1/15/24 EUR 4,800 5,935
La Banque Postale Home Loan SFH SA 1.875% 9/11/20 EUR 5,800 6,745
Societe Generale SCF SA 4.250% 2/3/23 EUR 4,600 6,169
Societe Generale SCF SA 5.000% 3/27/19 EUR 8,000 9,597
Societe Generale SFH 1.625% 1/5/21 EUR 1,000 1,159
Societe Generale SFH 1.750% 3/5/20 EUR 3,000 3,451
Societe Generale SFH 2.000% 4/29/24 EUR 5,000 6,057
Societe Generale SFH 4.000% 1/18/22 EUR 2,000 2,584
Societe Generale SFH SA 0.125% 2/27/20 EUR 1,000 1,100
          758,476
Corporate Bonds (1.8%)          
Accor SA 1.250% 1/25/24 EUR 9,500 10,291
Accor SA 2.625% 2/5/21 EUR 2,000 2,337
Air Liquide Finance SA 0.500% 6/13/22 EUR 1,300 1,428
Air Liquide Finance SA 1.250% 6/3/25 EUR 5,500 6,190
Air Liquide Finance SA 1.250% 6/13/28 EUR 1,000 1,100
Air Liquide Finance SA 2.125% 10/15/21 EUR 5,300 6,249
Air Liquide SA 2.375% 9/6/23 EUR 2,300 2,786
Air Liquide SA 2.908% 10/12/18 EUR 5,800 6,588
Airbus Group Finance BV 1.375% 5/13/31 EUR 12,336 13,336
Airbus Group Finance BV 2.125% 10/29/29 EUR 700 832
Airbus Group Finance BV 2.375% 4/2/24 EUR 3,500 4,243
Alstom SA 3.625% 10/5/18 EUR 8,000 9,149
APRR SA 1.125% 1/15/21 EUR 12,200 13,688
APRR SA 1.125% 1/9/26 EUR 400 438
APRR SA 1.250% 1/6/27 EUR 300 329
APRR SA 1.875% 1/15/25 EUR 2,400 2,792
APRR SA 2.250% 1/16/20 EUR 2,000 2,306
APRR SA 4.875% 1/21/19 EUR 1,000 1,180
Arkema SA 3.850% 4/30/20 EUR 9,500 11,489
Auchan Holding SA 1.750% 4/23/21 EUR 3,100 3,563
Auchan Holding SA 2.250% 4/6/23 EUR 6,000 7,111
Auchan Holding SA 2.375% 12/12/22 EUR 2,000 2,382
Auchan Holding SA 3.625% 10/19/18 EUR 100 115
Auchan Holding SA 6.000% 4/15/19 EUR 500 608
Autoroutes du Sud de la France SA 1.000% 5/13/26 EUR 700 756
Autoroutes du Sud de la France SA 2.875% 1/18/23 EUR 3,400 4,185
Autoroutes du Sud de la France SA 2.950% 1/17/24 EUR 5,200 6,476
Autoroutes du Sud de la France SA 4.125% 4/13/20 EUR 2,250 2,740
Autoroutes du Sud de la France SA 5.625% 7/4/22 EUR 100 138
1 AXA SA 3.375% 7/6/47 EUR 10,650 12,143
1 AXA SA 3.875% 5/20/49 EUR 950 1,098
1 AXA SA 3.941% 11/29/49 EUR 9,480 11,050

 

30


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
1 AXA SA 5.125% 7/4/43 EUR 7,000 8,905
AXA SA 5.250% 4/16/40 EUR 2,350 2,855
1 AXA SA 5.625% 1/16/54 GBP 8,870 12,718
1 AXA SA 6.686% 7/29/49 GBP 1,800 2,666
1 AXA SA 6.772% 10/29/49 GBP 2,574 3,650
AXA SA 7.125% 12/15/20 GBP 500 777
Banque Federative du Credit Mutuel SA 0.250% 6/14/19 EUR 8,500 9,304
Banque Federative du Credit Mutuel SA 1.250% 1/14/25 EUR 1,100 1,229
Banque Federative du Credit Mutuel SA 1.625% 1/19/26 EUR 200 228
Banque Federative du Credit Mutuel SA 1.875% 11/4/26 EUR 800 850
Banque Federative du Credit Mutuel SA 2.375% 3/24/26 EUR 11,000 12,252
Banque Federative du Credit Mutuel SA 2.625% 2/24/21 EUR 16,000 18,981
Banque Federative du Credit Mutuel SA 2.625% 3/18/24 EUR 10,000 12,210
Banque Federative du Credit Mutuel SA 3.000% 11/28/23 EUR 8,000 10,006
Banque Federative du Credit Mutuel SA 3.000% 5/21/24 EUR 17,324 20,479
Banque Federative du Credit Mutuel SA 3.250% 8/23/22 EUR 5,500 6,871
Banque Federative du Credit Mutuel SA 4.000% 10/22/20 EUR 4,000 4,907
1 BNP Paribas Cardif SA 4.032% 11/29/49 EUR 1,200 1,352
BNP Paribas SA 0.500% 6/1/22 EUR 5,000 5,478
BNP Paribas SA 1.125% 8/16/22 GBP 4,000 5,070
BNP Paribas SA 1.125% 1/15/23 EUR 1,000 1,118
BNP Paribas SA 1.375% 11/21/18 EUR 4,500 5,012
BNP Paribas SA 2.000% 1/28/19 EUR 5,000 5,641
BNP Paribas SA 2.250% 1/13/21 EUR 12,500 14,626
BNP Paribas SA 2.375% 11/20/19 GBP 3,350 4,502
BNP Paribas SA 2.375% 5/20/24 EUR 11,000 13,197
BNP Paribas SA 2.375% 2/17/25 EUR 5,000 5,621
1 BNP Paribas SA 2.625% 10/14/27 EUR 3,000 3,421
BNP Paribas SA 2.875% 10/24/22 EUR 5,000 6,117
BNP Paribas SA 2.875% 9/26/23 EUR 5,000 6,163
1 BNP Paribas SA 2.875% 3/20/26 EUR 6,000 6,902
BNP Paribas SA 2.875% 10/1/26 EUR 4,700 5,433
Bouygues SA 1.375% 6/7/27 EUR 500 546
Bouygues SA 3.625% 1/16/23 EUR 2,500 3,164
Bouygues SA 3.641% 10/29/19 EUR 2,500 2,965
Bouygues SA 4.500% 2/9/22 EUR 21,500 27,855
Bouygues SA 5.500% 10/6/26 GBP 8,100 13,225
BPCE SA 0.375% 10/5/23 EUR 10,000 10,617
BPCE SA 0.750% 1/22/20 EUR 1,500 1,662
BPCE SA 1.125% 1/18/23 EUR 1,000 1,092
BPCE SA 1.375% 5/22/19 EUR 5,000 5,603
BPCE SA 2.125% 3/17/21 EUR 8,600 10,031
1 BPCE SA 2.750% 7/8/26 EUR 9,000 10,266
BPCE SA 2.875% 1/16/24 EUR 8,500 10,500
BPCE SA 4.250% 2/6/23 EUR 100 131
BPCE SA 4.625% 7/18/23 EUR 1,500 1,926
BPCE SA 5.250% 4/16/29 GBP 3,000 4,419
6 Caisse Centrale du Credit Immobilier de          
France SA 0.250% 11/25/18 EUR 6,000 6,590
Caisse Francaise de Financement Local 0.625% 4/13/26 EUR 1,000 1,082
Cap Gemini SA 1.750% 7/1/20 EUR 23,300 26,441
Cap Gemini SA 2.500% 7/1/23 EUR 6,000 7,126
CARMILA SAS 2.375% 9/16/24 EUR 4,000 4,606
Carrefour SA 0.750% 4/26/24 EUR 8,100 8,727
Carrefour SA 1.250% 6/3/25 EUR 2,000 2,210

 

31


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Carrefour SA 1.750% 5/22/19 EUR 6,900 7,783
Carrefour SA 4.000% 4/9/20 EUR 6,000 7,272
Cie de Saint-Gobain 0.000% 3/27/20 EUR 15,000 16,276
1 CNP Assurances 4.250% 6/5/45 EUR 2,200 2,561
1 CNP Assurances 4.500% 6/10/47 EUR 17,500 20,463
1 CNP Assurances 6.000% 9/14/40 EUR 4,000 4,982
1 CNP Assurances 6.875% 9/30/41 EUR 500 657
1 CNP Assurances 7.375% 9/30/41 GBP 1,000 1,487
Compagnie De St. Gobain SA 3.625% 3/28/22 EUR 5,000 6,287
Compagnie Financiere et Industrielle des          
Autoroutes SA 5.000% 5/24/21 EUR 17,400 22,579
1 Credit Agricole Assurances SA 4.250% 1/29/49 EUR 2,000 2,257
1 Credit Agricole Assurances SA 4.500% 10/31/49 EUR 2,100 2,377
1 Credit Agricole Assurances SA 4.750% 9/27/48 EUR 10,000 11,631
Credit Agricole SA 0.875% 1/19/22 EUR 12,000 13,328
Credit Agricole SA 1.250% 4/14/26 EUR 100 109
Credit Agricole SA 1.875% 12/20/26 EUR 100 109
Credit Agricole SA 2.375% 11/27/20 EUR 5,000 5,869
Credit Agricole SA 2.375% 5/20/24 EUR 2,000 2,396
Credit Agricole SA 2.625% 3/17/27 EUR 34,900 39,436
Credit Agricole SA 3.125% 7/17/23 EUR 700 873
Credit Agricole SA 3.125% 2/5/26 EUR 4,100 5,191
Credit Agricole SA 3.875% 2/13/19 EUR 4,000 4,661
Credit Agricole SA 5.875% 6/11/19 EUR 4,000 4,882
Credit Mutuel Arkea SA 1.000% 1/26/23 EUR 8,500 9,392
Credit Mutuel Arkea SA 3.250% 6/1/26 EUR 100 116
Credit Mutuel Arkea SA 3.500% 2/9/29 EUR 21,800 25,054
Credit Mutuel Arkea SA 6.750% 9/18/18 EUR 300 355
Danone SA 0.167% 11/3/20 EUR 14,700 16,032
Danone SA 0.424% 11/3/22 EUR 6,200 6,731
Danone SA 1.208% 11/3/28 EUR 4,900 5,268
Danone SA 1.250% 6/6/18 EUR 5,000 5,521
Danone SA 1.250% 5/30/24 EUR 100 113
Danone SA 1.375% 6/10/19 EUR 2,600 2,917
Danone SA 2.250% 11/15/21 EUR 2,000 2,365
Edenred 1.375% 3/10/25 EUR 6,000 6,514
Engie SA 1.375% 5/19/20 EUR 7,000 7,924
Engie SA 1.500% 3/13/35 EUR 4,100 4,290
Engie SA 2.250% 6/1/18 EUR 7,595 8,477
Engie SA 2.625% 7/20/22 EUR 800 975
Engie SA 3.000% 2/1/23 EUR 4,000 4,969
1 Engie SA 3.000% 6/29/49 EUR 2,400 2,717
1 Engie SA 3.875% 6/2/49 EUR 3,700 4,319
1 Engie SA 3.875% 7/29/49 EUR 2,000 2,262
1 Engie SA 4.625% 1/10/49 GBP 1,800 2,431
1 Engie SA 4.750% 7/29/49 EUR 1,000 1,215
Engie SA 5.000% 10/1/60 GBP 3,150 6,581
Engie SA 5.950% 3/16/11 EUR 1,000 1,770
Engie SA 6.125% 2/11/21 GBP 700 1,082
Engie SA 6.875% 1/24/19 EUR 250 305
Engie SA 7.000% 10/30/28 GBP 850 1,646
Eutelsat SA 2.625% 1/13/20 EUR 5,000 5,746
Eutelsat SA 3.125% 10/10/22 EUR 4,800 5,832
Eutelsat SA 5.000% 1/14/19 EUR 3,700 4,363
Fonciere Des Regions 1.750% 9/10/21 EUR 5,700 6,461
Fonciere Des Regions 1.875% 5/20/26 EUR 100 112

 

32


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Gecina SA 1.000% 1/30/29 EUR 2,000 2,049
Gecina SA 1.500% 1/20/25 EUR 10,500 11,822
Gecina SA 2.000% 6/17/24 EUR 100 117
Holding d’Infrastructures de Transport SAS 2.250% 3/24/25 EUR 4,000 4,694
Holding d’Infrastructures de Transport SAS 4.875% 10/27/21 EUR 500 651
ICADE 1.125% 11/17/25 EUR 600 636
ICADE 2.250% 4/16/21 EUR 5,000 5,815
Imerys SA 0.875% 3/31/22 EUR 600 659
Infra Park SAS 1.250% 10/16/20 EUR 8,000 8,974
JCDecaux SA 1.000% 6/1/23 EUR 10,000 11,044
Kering 0.875% 3/28/22 EUR 100 111
Kering 1.875% 10/8/18 EUR 1,300 1,455
Kering 2.500% 7/15/20 EUR 10,500 12,306
Klepierre 1.250% 9/29/31 EUR 100 103
Klepierre 1.875% 2/19/26 EUR 7,600 8,838
Klepierre 2.750% 9/17/19 EUR 3,600 4,174
Legrand SA 3.375% 4/19/22 EUR 300 376
LVMH Moet Hennessy Louis Vuitton SE 1.000% 9/24/21 EUR 2,000 2,255
LVMH Moet Hennessy Louis Vuitton SE 1.250% 11/4/19 EUR 7,400 8,326
LVMH Moet Hennessy Louis Vuitton SE 1.750% 11/13/20 EUR 100 115
Mercialys SA 1.787% 3/31/23 EUR 5,100 5,685
Mercialys SA 4.125% 3/26/19 EUR 200 234
Michelin Luxembourg SCS 1.125% 5/28/22 EUR 200 226
Michelin Luxembourg SCS 1.750% 5/28/27 EUR 100 116
Orange SA 0.875% 2/3/27 EUR 900 957
Orange SA 1.000% 5/12/25 EUR 10,000 10,945
Orange SA 1.875% 9/3/18 EUR 1,800 2,011
Orange SA 1.875% 10/2/19 EUR 10,100 11,477
Orange SA 2.500% 3/1/23 EUR 100 120
Orange SA 3.125% 1/9/24 EUR 8,000 10,042
Orange SA 3.375% 9/16/22 EUR 3,400 4,262
1 Orange SA 4.000% 10/29/49 EUR 11,000 12,861
1 Orange SA 4.250% 2/28/49 EUR 5,000 5,831
Orange SA 5.250% 12/5/25 GBP 2,200 3,563
1 Orange SA 5.250% 12/29/49 EUR 7,150 8,814
Orange SA 5.375% 11/22/50 GBP 3,650 6,943
Orange SA 5.625% 5/22/18 EUR 2,000 2,309
1 Orange SA 5.875% 2/28/49 GBP 2,500 3,561
Orange SA 7.250% 11/10/20 GBP 400 630
Orange SA 8.125% 11/20/28 GBP 1,000 2,020
Orange SA 8.125% 1/28/33 EUR 600 1,186
Pernod Ricard SA 1.500% 5/18/26 EUR 3,000 3,354
Pernod Ricard SA 2.000% 6/22/20 EUR 12,900 14,863
Publicis Groupe SA 1.125% 12/16/21 EUR 10,000 11,217
Publicis Groupe SA 1.625% 12/16/24 EUR 5,200 5,913
RCI Banque SA 0.500% 9/15/23 EUR 11,800 12,388
RCI Banque SA 0.625% 11/10/21 EUR 1,967 2,137
RCI Banque SA 0.750% 1/12/22 EUR 900 979
RCI Banque SA 1.000% 5/17/23 EUR 5,900 6,426
RCI Banque SA 1.125% 9/30/19 EUR 3,000 3,350
RCI Banque SA 1.375% 11/17/20 EUR 4,000 4,515
RCI Banque SA 2.250% 3/29/21 EUR 2,900 3,369
Renault SA 3.125% 3/5/21 EUR 2,125 2,538
Renault SA 3.625% 9/19/18 EUR 5,600 6,400
SANEF SA 0.950% 10/19/28 EUR 1,300 1,320
Sanofi 0.000% 1/13/20 EUR 1,000 1,089

 

33


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Sanofi 0.000% 9/13/22 EUR 5,000 5,345
Sanofi 1.125% 4/5/28 EUR 10,000 10,885
Sanofi 1.750% 9/10/26 EUR 7,000 8,177
Sanofi 1.875% 9/4/20 EUR 6,000 6,901
Sanofi 2.500% 11/14/23 EUR 5,000 6,116
Sanofi 4.125% 10/11/19 EUR 11,000 13,191
Schneider Electric SE 0.250% 9/9/24 EUR 1,000 1,047
Schneider Electric SE 0.875% 3/11/25 EUR 2,400 2,610
Schneider Electric SE 2.500% 9/6/21 EUR 1,000 1,196
Societe Generale SA 1.000% 4/1/22 EUR 10,000 10,947
Societe Generale SA 2.250% 1/23/20 EUR 9,000 10,394
1 Societe Generale SA 2.500% 9/16/26 EUR 2,000 2,260
Societe Generale SA 4.000% 6/7/23 EUR 4,400 5,508
Societe Generale SA 4.250% 7/13/22 EUR 2,500 3,241
Societe Generale SA 4.750% 3/2/21 EUR 1,000 1,274
Societe Generale SA 5.000% 12/20/18 GBP 2,790 3,861
Societe Generale SA 6.125% 8/20/18 EUR 1,000 1,175
Societe Generale SFH SA 0.500% 1/20/23 EUR 1,700 1,883
Sodexo SA 2.500% 6/24/26 EUR 600 739
Suez 2.750% 10/9/23 EUR 3,000 3,692
1 Suez 3.000% 6/23/49 EUR 3,400 3,850
Suez 4.078% 5/17/21 EUR 2,000 2,513
Suez 4.125% 6/24/22 EUR 400 519
Suez 5.500% 7/22/24 EUR 2,400 3,488
Suez 6.250% 4/8/19 EUR 7,750 9,463
TDF Infrastructure SAS 2.500% 4/7/26 EUR 800 917
TDF Infrastructure SAS 2.875% 10/19/22 EUR 21,200 25,190
Total Capital Canada Ltd. 1.125% 3/18/22 EUR 13,100 14,832
Total Capital Canada Ltd. 1.875% 7/9/20 EUR 7,800 8,986
Total Capital International SA 0.750% 7/12/28 EUR 10,000 10,422
Total Capital International SA 1.375% 3/19/25 EUR 5,500 6,270
Total Capital International SA 2.125% 11/19/21 EUR 3,300 3,907
Total Capital International SA 2.125% 3/15/23 EUR 3,000 3,589
Total Capital International SA 2.500% 3/25/26 EUR 2,000 2,475
Total Capital International SA 2.875% 11/19/25 EUR 4,000 5,078
Total Capital International SA 4.250% 11/26/21 AUD 2,798 2,199
Total Capital SA 3.875% 12/14/18 GBP 5,000 6,805
Total Capital SA 4.875% 1/28/19 EUR 1,200 1,420
1 Total SA 2.250% 12/29/49 EUR 9,000 9,893
1 Total SA 2.625% 12/29/49 EUR 6,000 6,355
1 Total SA 2.708% 12/31/49 EUR 13,000 14,265
1 Total SA 3.369% 12/31/49 EUR 7,000 7,680
Transport et Infrastructures Gaz France SA 4.339% 7/7/21 EUR 2,000 2,514
Unibail-Rodamco SE 0.875% 2/21/25 EUR 1,000 1,082
Unibail-Rodamco SE 1.000% 3/14/25 EUR 10,000 10,886
Unibail-Rodamco SE 1.375% 3/9/26 EUR 584 649
Unibail-Rodamco SE 1.375% 4/15/30 EUR 16,500 17,603
Unibail-Rodamco SE 2.000% 4/28/36 EUR 1,100 1,227
Unibail-Rodamco SE 2.250% 8/1/18 EUR 400 448
Unibail-Rodamco SE 2.375% 2/25/21 EUR 2,000 2,365
Unibail-Rodamco SE 2.500% 2/26/24 EUR 1,890 2,298
Unibail-Rodamco SE 2.500% 6/4/26 EUR 500 608
Unibail-Rodamco SE 3.000% 3/22/19 EUR 500 576
Valeo SA 0.625% 1/11/23 EUR 100 109
Veolia Environnement SA 1.590% 1/10/28 EUR 5,700 6,354

 

34


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Veolia Environnement SA 4.247% 1/6/21 EUR 3,000 3,743
Veolia Environnement SA 4.625% 3/30/27 EUR 4,200 6,017
Veolia Environnement SA 6.125% 11/25/33 EUR 2,200 3,876
Veolia Environnement SA 6.125% 10/29/37 GBP 4,000 7,640
Vinci SA 3.375% 3/30/20 EUR 1,500 1,790
Vivendi SA 1.875% 5/26/26 EUR 400 455
Wendel SA 5.875% 9/17/19 EUR 3,000 3,701
          1,448,432
Sovereign Bonds (8.7%)          
Aeroports de Paris 1.500% 7/24/23 EUR 5,000 5,748
Aeroports de Paris 1.500% 4/7/25 EUR 4,000 4,555
Aeroports de Paris 2.750% 6/5/28 EUR 1,000 1,261
Aeroports de Paris 3.125% 6/11/24 EUR 2,000 2,541
Agence Francaise de Developpement 0.125% 3/31/21 EUR 10,000 11,002
Agence Francaise de Developpement 0.250% 7/21/26 EUR 6,500 6,744
Agence Francaise de Developpement 1.250% 5/25/19 EUR 6,200 6,978
Agence Francaise de Developpement 1.375% 9/17/24 EUR 30,500 35,435
Agence Francaise de Developpement 2.125% 2/15/21 EUR 35,000 41,397
Agence Francaise de Developpement 2.250% 5/27/25 EUR 10,000 12,307
Agence Francaise de Developpement 3.750% 2/15/27 EUR 3,600 4,977
Agence Francaise de Developpement 4.000% 1/28/19 EUR 5,000 5,861
Bpifrance Financement SA 0.500% 5/25/25 EUR 10,000 10,784
Bpifrance Financement SA 0.750% 10/25/21 EUR 33,000 37,254
Bpifrance Financement SA 1.000% 10/25/19 EUR 5,000 5,626
Bpifrance Financement SA 2.750% 10/25/25 EUR 28,000 35,845
6 Caisse Centrale du Credit Immobilier de          
France SA 1.125% 4/22/19 EUR 19,000 21,276
Caisse d’Amortissement de la Dette Sociale 0.050% 11/25/20 EUR 65,000 71,626
Caisse d’Amortissement de la Dette Sociale 0.500% 5/25/23 EUR 80,000 88,785
Caisse d’Amortissement de la Dette Sociale 1.000% 5/25/18 EUR 15,000 16,580
Caisse d’Amortissement de la Dette Sociale 1.125% 5/25/19 EUR 5,000 5,618
Caisse d’Amortissement de la Dette Sociale 1.375% 11/25/24 EUR 15,000 17,463
Caisse d’Amortissement de la Dette Sociale 2.375% 1/25/24 EUR 43,500 54,007
Caisse d’Amortissement de la Dette Sociale 2.500% 10/25/22 EUR 3,000 3,700
Caisse d’Amortissement de la Dette Sociale 3.375% 4/25/21 EUR 3,000 3,737
Caisse d’Amortissement de la Dette Sociale 3.750% 10/25/20 EUR 2,000 2,488
Caisse d’Amortissement de la Dette Sociale 4.000% 10/25/19 EUR 12,700 15,355
Caisse d’Amortissement de la Dette Sociale 4.000% 12/15/25 EUR 8,000 11,166
Caisse d’Amortissement de la Dette Sociale 4.125% 4/25/23 EUR 5,000 6,724
Caisse d’Amortissement de la Dette Sociale 4.250% 4/25/20 EUR 3,000 3,721
Caisse d’Amortissement de la Dette Sociale 4.375% 10/25/21 EUR 8,000 10,485
Caisse des Depots et Consignations 1.500% 12/23/19 GBP 5,000 6,634
Caisse des Depots et Consignations 4.375% 4/9/18 EUR 3,000 3,412
Caisse Nationale des Autoroutes 4.500% 3/28/18 EUR 8,870 10,124
4 Dexia Credit Local SA 2.000% 1/22/21 EUR 8,000 9,319
Electricite de France SA 1.000% 10/13/26 EUR 21,100 22,370
Electricite de France SA 1.875% 10/13/36 EUR 5,000 4,937
Electricite de France SA 2.250% 4/27/21 EUR 7,000 8,231
Electricite de France SA 2.750% 3/10/23 EUR 5,900 7,160
Electricite de France SA 3.875% 1/18/22 EUR 3,000 3,802
Electricite de France SA 4.000% 11/12/25 EUR 2,000 2,674
Electricite de France SA 4.125% 3/25/27 EUR 4,000 5,427
1 Electricite de France SA 4.125% 1/29/49 EUR 5,900 6,618
1 Electricite de France SA 4.250% 12/29/49 EUR 4,000 4,542
Electricite de France SA 4.500% 11/12/40 EUR 3,900 5,514
Electricite de France SA 4.625% 9/11/24 EUR 5,000 6,821

 

35


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
1 Electricite de France SA 5.000% 1/22/49 EUR 3,000 3,372
Electricite de France SA 5.125% 9/22/50 GBP 1,800 2,976
Electricite de France SA 5.375% 5/29/20 EUR 13,600 17,189
1 Electricite de France SA 5.375% 1/29/49 EUR 3,400 3,936
Electricite de France SA 5.500% 3/27/37 GBP 2,800 4,639
Electricite de France SA 5.500% 10/17/41 GBP 4,000 6,706
Electricite de France SA 5.625% 2/21/33 EUR 4,000 6,318
Electricite de France SA 5.875% 7/18/31 GBP 3,700 6,365
1 Electricite de France SA 5.875% 7/22/49 GBP 2,500 3,174
1 Electricite de France SA 6.000% 12/29/49 GBP 3,800 5,025
Electricite de France SA 6.000% 1/23/14 GBP 6,200 11,253
Electricite de France SA 6.125% 6/2/34 GBP 4,800 8,386
Electricite de France SA 6.250% 1/25/21 EUR 7,200 9,607
Electricite de France SA 6.250% 5/30/28 GBP 3,000 5,172
French Republic 0.000% 2/25/19 EUR 160,000 175,997
French Republic 0.000% 5/25/20 EUR 233,000 257,408
French Republic 0.000% 5/25/21 EUR 120,000 132,232
French Republic 0.000% 5/25/22 EUR 160,000 175,194
French Republic 0.250% 11/25/20 EUR 190,000 211,767
French Republic 0.250% 11/25/26 EUR 135,000 139,946
French Republic 0.500% 11/25/19 EUR 113,000 126,345
French Republic 0.500% 5/25/25 EUR 141,500 154,209
French Republic 0.500% 5/25/26 EUR 195,000 209,070
French Republic 1.000% 5/25/18 EUR 33,000 36,546
French Republic 1.000% 11/25/18 EUR 81,000 90,388
French Republic 1.000% 5/25/19 EUR 275,850 310,108
French Republic 1.000% 11/25/25 EUR 35,000 39,472
French Republic 1.000% 5/25/27 EUR 141,100 155,975
2 French Republic 1.250% 5/25/36 EUR 105,000 109,569
French Republic 1.500% 5/25/31 EUR 207,000 234,117
French Republic 1.750% 5/25/23 EUR 266,000 318,947
French Republic 1.750% 11/25/24 EUR 119,641 143,724
2 French Republic 1.750% 5/25/66 EUR 63,000 62,413
French Republic 2.250% 10/25/22 EUR 211,000 258,580
French Republic 2.250% 5/25/24 EUR 85,000 105,442
French Republic 2.500% 10/25/20 EUR 128,000 153,621
French Republic 2.500% 5/25/30 EUR 70,500 89,796
French Republic 2.750% 10/25/27 EUR 108,950 140,905
French Republic 3.000% 4/25/22 EUR 109,500 137,950
French Republic 3.250% 10/25/21 EUR 89,400 112,703
French Republic 3.250% 5/25/45 EUR 108,600 155,849
French Republic 3.500% 4/25/20 EUR 100,000 121,913
French Republic 3.500% 4/25/26 EUR 112,000 152,666
French Republic 3.750% 10/25/19 EUR 90,000 108,522
French Republic 3.750% 4/25/21 EUR 58,000 73,469
French Republic 4.000% 10/25/38 EUR 105,000 166,045
French Republic 4.000% 4/25/55 EUR 36,400 61,427
French Republic 4.000% 4/25/60 EUR 32,750 56,275
French Republic 4.250% 10/25/18 EUR 135,000 157,589
French Republic 4.250% 4/25/19 EUR 45,000 53,732
French Republic 4.250% 10/25/23 EUR 120,000 165,431
French Republic 4.500% 4/25/41 EUR 133,500 227,855
French Republic 4.750% 4/25/35 EUR 61,300 102,716
French Republic 5.500% 4/25/29 EUR 66,000 108,796
French Republic 5.750% 10/25/32 EUR 76,500 136,659
French Republic 6.000% 10/25/25 EUR 55,000 87,365

 

36


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
French Republic 8.250% 4/25/22 EUR 14,000 21,619
French Republic 8.500% 10/25/19 EUR 10,000 13,351
1 La Banque Postale SA 2.750% 4/23/26 EUR 2,000 2,271
La Banque Postale SA 3.000% 6/9/28 EUR 2,000 2,310
La Poste SA 1.125% 6/4/25 EUR 10,000 11,066
La Poste SA 2.750% 11/26/24 EUR 4,200 5,235
Regie Autonome des Transports Parisiens 2.625% 11/6/19 CHF 3,000 3,247
Regie Autonome des Transports Parisiens 4.500% 5/28/18 EUR 4,000 4,580
Region of Ile de France 0.625% 4/23/27 EUR 5,000 5,230
Region of Ile de France 2.250% 6/10/23 EUR 900 1,095
Region of Ile de France 3.625% 3/27/24 EUR 3,000 3,954
RTE Reseau de Transport d’Electricite SA 2.750% 6/20/29 EUR 1,400 1,749
RTE Reseau de Transport d’Electricite SA 4.125% 2/3/21 EUR 1,400 1,755
SA de Gestion de Stocks de Securite 0.625% 5/25/23 EUR 12,000 13,309
SA de Gestion de Stocks de Securite 1.750% 10/22/19 EUR 5,000 5,719
SNCF Mobilities EPIC 4.125% 2/19/25 EUR 700 963
SNCF Mobilities EPIC 4.875% 6/12/23 EUR 4,000 5,553
SNCF Reseau 0.100% 5/27/21 EUR 10,000 10,956
SNCF Reseau 1.125% 5/25/30 EUR 24,600 26,061
SNCF Reseau 1.500% 5/29/37 EUR 18,000 18,623
SNCF Reseau 3.125% 10/25/28 EUR 7,000 9,232
SNCF Reseau 4.250% 10/7/26 EUR 1,500 2,131
SNCF Reseau 4.375% 6/2/22 EUR 7,000 9,280
SNCF Reseau 4.830% 3/25/60 GBP 1,000 2,110
SNCF Reseau 5.000% 10/10/33 EUR 10,500 17,203
SNCF Reseau 5.000% 3/11/52 GBP 3,500 7,088
SNCF Reseau 5.250% 12/7/28 GBP 17,000 29,434
SNCF Reseau 5.500% 12/1/21 GBP 3,000 4,647
SNCF Reseau 6.000% 10/12/20 EUR 9,000 11,914
Societe Nationale des Chemins de Fer Francais 3.625% 6/3/20 EUR 3,711 4,523
Societe Nationale des Chemins de Fer Francais 4.375% 7/10/18 EUR 5,000 5,752
6 UNEDIC 0.000% 11/25/20 EUR 9,000 9,869
UNEDIC 0.040% 5/25/19 EUR 18,000 19,769
6 UNEDIC 0.625% 2/17/25 EUR 10,000 10,977
6 UNEDIC 0.625% 3/3/26 EUR 10,000 10,838
6 UNEDIC 0.875% 10/25/22 EUR 18,000 20,429
6 UNEDIC 1.250% 5/29/20 EUR 5,000 5,708
6 UNEDIC 1.250% 10/21/27 EUR 1,500 1,679
6 UNEDIC 1.500% 4/16/21 EUR 36,000 41,822
6 UNEDIC 2.250% 4/5/23 EUR 7,000 8,548
UNEDIC 2.375% 5/25/24 EUR 3,000 3,721
          7,176,802
Total France (Cost $9,645,660)         9,383,710
Germany (9.7%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.5%)        
Aareal Bank AG 1.000% 6/28/18 EUR 500 553
Bayerische Landesbank 0.350% 12/1/22 EUR 5,000 5,518
Bayerische Landesbank 1.000% 7/9/21 EUR 250 284
Bayerische Landesbank 1.625% 4/18/23 EUR 5,000 5,918
Bayerische Landesbank 2.000% 7/11/22 EUR 700 839
Berlin Hyp AG 0.375% 5/3/24 EUR 1,000 1,094
Berlin Hyp AG 1.250% 4/23/21 EUR 6,000 6,878
Commerzbank AG 0.250% 1/26/22 EUR 4,000 4,402
Commerzbank AG 0.500% 6/9/26 EUR 15,000 16,216

 

37


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Commerzbank AG 0.875% 9/8/25 EUR 10,000 11,237
Commerzbank AG 1.000% 6/25/18 EUR 5,000 5,530
Commerzbank AG 1.000% 2/5/19 EUR 3,000 3,339
Commerzbank AG 4.125% 4/7/21 EUR 4,500 5,708
Commerzbank AG 4.375% 7/2/19 EUR 4,500 5,393
Deutsche Bank AG 0.250% 3/8/24 EUR 9,300 10,058
Deutsche Bank AG 0.250% 8/31/28 EUR 5,000 5,044
Deutsche Bank AG 1.375% 9/7/20 EUR 2,000 2,283
Deutsche Genossenschafts-Hypothekenbank          
AG 0.125% 9/30/22 EUR 13,000 14,162
Deutsche Genossenschafts-Hypothekenbank          
AG 0.375% 3/31/26 EUR 5,900 6,334
Deutsche Genossenschafts-Hypothekenbank          
AG 0.500% 9/30/26 EUR 10,000 10,800
Deutsche Hypothekenbank AG 0.125% 4/20/22 EUR 5,000 5,462
Deutsche Hypothekenbank AG 1.375% 6/10/20 EUR 1,500 1,711
Deutsche Kreditbank AG 0.500% 3/19/27 EUR 1,500 1,597
Deutsche Kreditbank AG 1.625% 6/18/24 EUR 1,000 1,186
Deutsche Pfandbriefbank AG 0.050% 8/9/21 EUR 1,000 1,092
Deutsche Pfandbriefbank AG 0.125% 11/27/20 EUR 10,000 10,977
Deutsche Pfandbriefbank AG 0.200% 3/1/22 EUR 5,450 5,969
Deutsche Pfandbriefbank AG 0.250% 7/30/20 EUR 5,500 6,063
Deutsche Pfandbriefbank AG 1.500% 3/18/20 EUR 4,000 4,566
Deutsche Pfandbriefbank AG 1.875% 12/20/19 GBP 1,300 1,726
Deutsche Pfandbriefbank AG 1.875% 1/21/22 EUR 10,000 11,827
Deutsche Pfandbriefbank AG 2.125% 6/3/19 EUR 1,550 1,771
Deutsche Pfandbriefbank AG 2.375% 5/29/28 EUR 6,000 7,524
Deutsche Postbank AG 3.375% 3/31/20 EUR 5,000 6,008
Dexia Kommunalbank Deutschland AG 0.050% 9/8/21 EUR 14,800 16,058
Dexia Kommunalbank Deutschland AG 0.375% 3/3/22 EUR 8,300 9,111
Dexia Kommunalbank Deutschland AG 4.750% 5/23/18 EUR 2,000 2,292
7 German Postal Pensions Securitisation 2 plc 4.375% 1/18/22 EUR 3,000 3,906
HSH Nordbank AG 0.625% 7/17/19 EUR 5,000 5,523
HSH Nordbank AG 1.375% 10/2/18 EUR 2,500 2,779
Landesbank Hessen-Thueringen Girozentrale 0.100% 3/4/20 EUR 5,000 5,494
Landesbank Hessen-Thueringen Girozentrale 0.125% 11/21/22 EUR 22,500 24,527
Landesbank Hessen-Thueringen Girozentrale 1.000% 6/26/18 EUR 6,400 7,080
Landesbank Hessen-Thueringen Girozentrale 1.000% 2/25/19 EUR 8,000 8,923
Landesbank Hessen-Thueringen Girozentrale 1.125% 5/27/21 EUR 10,000 11,424
Landesbank Hessen-Thueringen Girozentrale 1.875% 6/26/23 EUR 800 961
LBBW 0.125% 2/21/22 EUR 5,000 5,475
LBBW 1.375% 6/1/18 EUR 800 888
Muenchener Hypothekenbank eG 1.125% 10/4/18 EUR 1,000 1,112
Muenchener Hypothekenbank eG 1.375% 4/16/21 EUR 15,000 17,282
Muenchener Hypothekenbank eG 2.500% 7/4/28 EUR 7,000 8,943
Norddeutsche Landesbank Girozentrale 3.250% 1/18/21 EUR 4,000 4,893
UniCredit Bank AG 0.125% 4/9/21 EUR 5,000 5,486
UniCredit Bank AG 1.875% 9/12/22 EUR 500 596
UniCredit Bank AG 1.875% 4/9/24 EUR 5,000 6,030
WL BANK AG Westfaelische          
Landschaft Bodenkreditbank 0.375% 6/6/25 EUR 2,000 2,164
WL BANK AG Westfaelische          
Landschaft Bodenkreditbank 0.500% 4/1/27 EUR 5,000 5,349
WL BANK AG Westfaelische          
Landschaft Bodenkreditbank 0.750% 2/2/26 EUR 10,000 11,112

 

38


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
WL BANK AG Westfaelische Landschaft          
Bodenkreditbank 0.875% 1/18/30 EUR 7,000 7,521
WL BANK AG Westfaelische Landschaft          
Bodenkreditbank 1.125% 5/29/20 EUR 2,500 2,832
WL BANK AG Westfaelische Landschaft          
Bodenkreditbank 2.500% 3/29/22 EUR 10,400 12,696
          379,526
Corporate Bonds (1.1%)          
Allianz Finance II BV 1.375% 4/21/31 EUR 500 537
Allianz Finance II BV 3.000% 3/13/28 EUR 2,500 3,228
Allianz Finance II BV 3.500% 2/14/22 EUR 8,500 10,728
Allianz Finance II BV 4.500% 3/13/43 GBP 2,600 4,541
Allianz Finance II BV 4.750% 7/22/19 EUR 400 483
1 Allianz Finance II BV 5.750% 7/8/41 EUR 27,800 35,574
1 Allianz SE 2.241% 7/7/45 EUR 400 435
1 Allianz SE 3.250% 2/28/49 CHF 1,000 1,052
1 Allianz SE 3.375% 9/29/49 EUR 3,400 3,914
1 Allianz SE 4.750% 10/29/49 EUR 7,500 9,325
1 Allianz SE 5.625% 10/17/42 EUR 2,000 2,619
alstria office REIT-AG 2.125% 4/12/23 EUR 200 231
ATF Netherlands BV 1.500% 7/15/24 EUR 26,800 28,604
BASF SE 0.875% 10/6/23 GBP 500 632
BASF SE 0.875% 10/6/31 EUR 600 613
BASF SE 1.375% 1/22/19 EUR 1,300 1,447
BASF SE 1.875% 2/4/21 EUR 5,000 5,816
BASF SE 2.000% 12/5/22 EUR 9,600 11,413
Bayer AG 1.875% 1/25/21 EUR 3,000 3,471
1 Bayer AG 3.000% 7/1/75 EUR 2,000 2,263
1 Bayer AG 3.750% 7/1/74 EUR 5,754 6,638
Bayer AG 5.625% 5/23/18 GBP 200 272
Bayer Capital Corp. BV 1.250% 11/13/23 EUR 500 571
Berlin Hyp AG 1.250% 1/22/25 EUR 400 449
Bertelsmann SE & Co. KGaA 2.625% 8/2/22 EUR 1,400 1,700
1 Bertelsmann SE & Co. KGaA 3.500% 4/23/75 EUR 3,000 3,228
BMW Australia Finance Ltd. 2.750% 2/23/18 AUD 7,000 5,250
BMW Finance NV 0.500% 9/5/18 EUR 17,800 19,542
BMW Finance NV 0.750% 4/15/24 EUR 8,964 9,826
BMW Finance NV 0.750% 7/12/24 EUR 100 109
BMW Finance NV 0.875% 11/17/20 EUR 800 894
BMW Finance NV 0.875% 8/16/22 GBP 400 508
BMW Finance NV 1.250% 9/5/22 EUR 1,000 1,138
BMW Finance NV 1.500% 6/5/18 EUR 1,500 1,663
BMW Finance NV 1.875% 6/29/20 GBP 200 267
BMW Finance NV 2.000% 9/4/20 EUR 4,000 4,631
BMW Finance NV 3.250% 1/14/19 EUR 8,000 9,202
BMW Finance NV 3.375% 12/14/18 GBP 7,350 9,917
BMW US Capital LLC 0.625% 4/20/22 EUR 16,210 17,895
BMW US Capital LLC 1.000% 4/20/27 EUR 300 324
Commerzbank AG 0.125% 12/15/26 EUR 1,800 1,868
Commerzbank AG 1.500% 9/21/22 EUR 5,000 5,660
Commerzbank AG 4.000% 9/16/20 EUR 2,500 3,061
Commerzbank AG 4.000% 3/23/26 EUR 7,050 8,202
Continental AG 3.000% 7/16/18 EUR 5,500 6,207
Continental AG 3.125% 9/9/20 EUR 4,500 5,384
Covestro AG 1.750% 9/25/24 EUR 10,000 11,517
Daimler AG 0.250% 5/11/20 EUR 3,200 3,504

 

39


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Daimler AG 0.875% 1/12/21 EUR 10,000 11,175
Daimler AG 1.000% 12/20/19 GBP 1,500 1,949
Daimler AG 1.375% 5/11/28 EUR 6,000 6,623
Daimler AG 1.400% 1/12/24 EUR 8,570 9,791
Daimler AG 1.500% 11/19/18 EUR 5,600 6,247
Daimler AG 2.000% 4/7/20 EUR 400 460
Daimler AG 2.000% 6/25/21 EUR 600 702
Daimler AG 2.250% 1/24/22 EUR 1,750 2,084
Daimler AG 2.375% 9/12/22 EUR 7,000 8,418
Daimler AG 2.375% 3/8/23 EUR 2,500 3,020
Daimler AG 2.750% 12/4/20 GBP 1,500 2,061
Daimler Canada Finance Inc. 1.910% 7/8/21 CAD 5,000 3,681
Deutsche Bank AG 0.000% 10/15/26 EUR 4,906 4,250
Deutsche Bank AG 0.625% 12/19/23 CHF 11,500 11,329
Deutsche Bank AG 1.250% 9/8/21 EUR 11,200 12,355
Deutsche Bank AG 2.375% 1/11/23 EUR 14,500 16,896
Deutsche Boerse AG 1.625% 10/8/25 EUR 4,098 4,826
Deutsche Boerse AG 2.375% 10/5/22 EUR 500 607
Deutsche Hypothekenbank AG 0.250% 2/22/23 EUR 15,000 16,409
Deutsche Hypothekenbank AG 0.250% 5/17/24 EUR 700 759
Deutsche Pfandbriefbank AG 1.125% 4/27/20 EUR 5,580 6,198
Deutsche Pfandbriefbank AG 1.250% 2/4/19 EUR 4,500 5,000
Deutsche Pfandbriefbank AG 1.500% 9/17/19 EUR 6,184 6,928
Deutsche Post AG 2.750% 10/9/23 EUR 2,000 2,483
Deutsche Post AG 2.875% 12/11/24 EUR 2,000 2,530
Deutsche Telekom International Finance BV 0.250% 4/19/21 EUR 5,700 6,209
Deutsche Telekom International Finance BV 0.375% 10/30/21 EUR 17,000 18,585
Deutsche Telekom International Finance BV 1.500% 4/3/28 EUR 10,400 11,397
Deutsche Telekom International Finance BV 2.125% 1/18/21 EUR 14,500 16,908
Deutsche Telekom International Finance BV 2.750% 10/24/24 EUR 2,000 2,473
Deutsche Telekom International Finance BV 4.250% 7/13/22 EUR 3,000 3,909
Deutsche Telekom International Finance BV 4.875% 4/22/25 EUR 8,500 12,054
Deutsche Telekom International Finance BV 6.500% 4/8/22 GBP 2,400 3,868
Deutsche Telekom International Finance BV 7.500% 1/24/33 EUR 300 560
DVB Bank SE 0.875% 4/9/21 EUR 400 440
DVB Bank SE 1.250% 4/22/20 EUR 9,900 11,066
DVB Bank SE 1.250% 9/15/21 EUR 500 558
DVB Bank SE 1.250% 6/16/23 EUR 1,000 1,097
DVB Bank SE 1.625% 5/28/18 EUR 2,000 2,216
E.ON International Finance BV 5.750% 5/7/20 EUR 10,000 12,747
E.ON International Finance BV 6.000% 10/30/19 GBP 3,500 5,091
E.ON International Finance BV 6.375% 6/7/32 GBP 2,000 3,664
E.ON International Finance BV 6.750% 1/27/39 GBP 1,000 2,003
Eurogrid GmbH 1.875% 6/10/25 EUR 3,000 3,493
Eurogrid GmbH 3.875% 10/22/20 EUR 1,000 1,226
Evonik Finance BV 0.000% 3/8/21 EUR 300 323
Evonik Industries AG 1.875% 4/8/20 EUR 1,000 1,148
Fresenius SE & Co. KGaA 0.875% 1/31/22 EUR 2,800 3,058
Fresenius SE & Co. KGaA 2.125% 2/1/27 EUR 6,800 7,649
Fresenius SE & Co. KGaA 3.000% 1/30/32 EUR 170 197
Fresenius SE & Co. KGaA 4.000% 2/1/24 EUR 8,300 10,528
Grand City Properties SA 1.500% 4/17/25 EUR 7,000 7,655
Grand City Properties SA 2.000% 10/29/21 EUR 2,000 2,302
1 Hannover Finance Luxembourg SA 5.000% 6/30/43 EUR 2,300 3,020
1 Hannover Finance Luxembourg SA 5.750% 9/14/40 EUR 2,000 2,517
HeidelbergCement AG 2.250% 3/30/23 EUR 5,000 5,843

 

40


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
HeidelbergCement AG 2.250% 6/3/24 EUR 10,700 12,476
HeidelbergCement Finance Luxembourg SA 0.500% 1/18/21 EUR 8,000 8,764
HeidelbergCement Finance Luxembourg SA 7.500% 4/3/20 EUR 2,000 2,635
Henkel AG & Co. KGaA 0.875% 9/13/22 GBP 13,779 17,611
innogy Finance BV 1.875% 1/30/20 EUR 8,700 9,929
innogy Finance BV 4.750% 1/31/34 GBP 4,200 6,658
innogy Finance BV 5.125% 7/23/18 EUR 1,000 1,158
innogy Finance BV 5.500% 7/6/22 GBP 100 154
innogy Finance BV 5.625% 12/6/23 GBP 1,400 2,224
innogy Finance BV 6.125% 7/6/39 GBP 8,000 15,186
innogy Finance BV 6.250% 6/3/30 GBP 1,500 2,676
innogy Finance BV 6.500% 4/20/21 GBP 6,400 9,885
innogy Finance BV 6.625% 1/31/19 EUR 13,400 16,282
LANXESS AG 0.250% 10/7/21 EUR 500 543
LANXESS AG 1.000% 10/7/26 EUR 8,100 8,548
LANXESS AG 2.625% 11/21/22 EUR 300 363
LEG Immobilien AG 1.250% 1/23/24 EUR 800 882
Linde AG 1.750% 9/17/20 EUR 4,000 4,609
Linde AG 2.000% 4/18/23 EUR 2,500 2,981
Linde Finance BV 0.250% 1/18/22 EUR 7,200 7,866
Linde Finance BV 1.750% 6/11/19 EUR 8,000 9,051
Linde Finance BV 3.875% 6/1/21 EUR 400 503
Merck Financial Services GmbH 0.750% 9/2/19 EUR 7,000 7,754
Merck Financial Services GmbH 4.500% 3/24/20 EUR 1,000 1,231
1 Merck KGaA 2.625% 12/12/74 EUR 2,000 2,276
Metro AG 3.375% 3/1/19 EUR 1,050 1,210
1 Muenchener Rueckversicherungs Gesellschaft          
In Muenchen AG 6.000% 5/26/41 EUR 500 649
1 Muenchener Rueckversicherungs Gesellschaft          
In Muenchen AG 6.250% 5/26/42 EUR 11,800 15,899
1 Muenchener Rueckversicherungs-Gesellschaft          
AG in Muenchen 6.625% 5/26/42 GBP 2,000 3,088
O2 Telefonica Deutschland Finanzierungs GmbH 1.875% 11/22/18 EUR 5,000 5,605
RWE AG 5.750% 2/14/33 EUR 150 243
SAP SE 1.750% 2/22/27 EUR 5,000 5,910
Siemens Financieringsmaatschappij NV 1.500% 3/10/20 EUR 4,000 4,560
Siemens Financieringsmaatschappij NV 1.750% 3/12/21 EUR 6,000 6,972
Siemens Financieringsmaatschappij NV 2.750% 9/10/25 GBP 1,000 1,413
Siemens Financieringsmaatschappij NV 2.875% 3/10/28 EUR 500 653
Siemens Financieringsmaatschappij NV 3.750% 9/10/42 GBP 3,000 4,796
Siemens Financieringsmaatschappij NV 5.625% 6/11/18 EUR 4,000 4,639
Talanx AG 2.500% 7/23/26 EUR 2,000 2,474
1 Talanx Finanz Luxembourg SA 8.367% 6/15/42 EUR 200 280
Vier Gas Transport Gmbh 2.000% 6/12/20 EUR 1,500 1,733
Vier Gas Transport Gmbh 2.875% 6/12/25 EUR 1,000 1,267
Vier Gas Transport GmbH 3.125% 7/10/23 EUR 7,500 9,438
Volkswagen Bank GmbH 1.500% 2/13/19 EUR 10,000 11,171
Volkswagen Financial Services NV 1.750% 4/17/20 GBP 3,284 4,312
Volkswagen Financial Services NV 2.750% 10/2/20 GBP 2,250 3,056
Volkswagen International Finance NV 0.875% 1/16/23 EUR 10,250 11,206
Volkswagen International Finance NV 2.000% 3/26/21 EUR 6,400 7,410
1 Volkswagen International Finance NV 3.500% 12/29/49 EUR 10,000 10,403
1 Volkswagen International Finance NV 3.750% 3/29/49 EUR 4,500 5,156
1 Volkswagen International Finance NV 3.875% 9/29/49 EUR 1,500 1,699
1 Volkswagen International Finance NV 4.625% 3/29/49 EUR 2,000 2,326

 

41


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
1 Volkswagen International Finance NV 5.125% 9/29/49 EUR 4,000 4,828
Volkswagen Leasing GmbH 0.750% 8/11/20 EUR 2,000 2,210
Volkswagen Leasing GmbH 2.125% 4/4/22 EUR 9,000 10,469
Volkswagen Leasing GmbH 2.375% 9/6/22 EUR 10,000 11,740
Volkswagen Leasing GmbH 2.625% 1/15/24 EUR 7,000 8,331
Vonovia Finance BV 1.500% 3/31/25 EUR 10,000 11,163
Vonovia Finance BV 2.250% 12/15/23 EUR 12,700 14,974
Vonovia Finance BV 3.125% 7/25/19 EUR 8,900 10,349
Vonovia Finance BV 3.625% 10/8/21 EUR 3,000 3,716
1 Vonovia Finance BV 4.000% 12/29/49 EUR 2,000 2,317
1 Vonovia Finance BV 4.625% 4/8/74 EUR 3,000 3,468
WL BANK AG Westfaelische          
Landschaft Bodenkreditbank 0.100% 8/31/26 EUR 1,000 1,042
Wuerth Finance International BV 1.750% 5/21/20 EUR 4,130 4,738
Wuerth Finance International BV 3.750% 5/25/18 EUR 5,402 6,122
          952,218
Sovereign Bonds (8.1%)          
Bayerische Landesbank 1.250% 12/20/21 GBP 2,400 3,148
Bayerische Landesbodenkreditanstalt 1.750% 4/24/24 EUR 3,000 3,582
Bayerische Landesbodenkreditanstalt 1.875% 1/25/23 EUR 6,000 7,160
7 Bund Laender Anleihe 1.500% 7/15/20 EUR 5,000 5,754
8 Bundesrepublik Deutschland 0.000% 8/15/26 EUR 114,500 121,793
Bundesschatzanweisungen 0.000% 6/15/18 EUR 100,000 109,891
Bundesschatzanweisungen 0.000% 9/14/18 EUR 100,000 110,057
8 Bundesschatzanweisungen 0.000% 12/14/18 EUR 270,000 297,720
Deutsche Bahn Finance BV 0.000% 7/19/21 EUR 30,000 32,680
Deutsche Bahn Finance BV 1.250% 10/23/25 EUR 2,500 2,868
Deutsche Bahn Finance BV 1.500% 8/26/24 CHF 1,000 1,114
Deutsche Bahn Finance BV 2.500% 9/12/23 EUR 18,500 22,898
Deutsche Bahn Finance BV 2.750% 3/19/29 EUR 3,500 4,517
Deutsche Bahn Finance BV 3.000% 3/8/24 EUR 4,000 5,142
Deutsche Bahn Finance BV 3.125% 7/24/26 GBP 500 728
Deutsche Bahn Finance BV 3.750% 6/1/21 EUR 2,000 2,514
Deutsche Bahn Finance BV 3.750% 7/9/25 EUR 5,919 8,114
1 EnBW Energie Baden-Wuerttemberg AG 3.375% 4/5/77 EUR 1,800 2,028
1 EnBW Energie Baden-Wuerttemberg AG 3.625% 4/2/76 EUR 3,500 3,983
EnBW International Finance BV 2.500% 6/4/26 EUR 2,000 2,474
EnBW International Finance BV 6.125% 7/7/39 EUR 2,285 4,060
EWE AG 4.125% 11/4/20 EUR 2,000 2,473
Federal Republic of Germany 0.000% 4/17/20 EUR 50,000 55,556
Federal Republic of Germany 0.000% 4/9/21 EUR 142,800 158,882
Federal Republic of Germany 0.250% 10/11/19 EUR 142,500 158,922
8 Federal Republic of Germany 0.250% 10/16/20 EUR 140,000 157,011
8 Federal Republic of Germany 0.250% 2/15/27 EUR 443,500 480,069
Federal Republic of Germany 0.500% 2/15/25 EUR 12,000 13,566
Federal Republic of Germany 0.500% 2/15/26 EUR 93,500 104,875
Federal Republic of Germany 1.000% 10/12/18 EUR 55,000 61,468
Federal Republic of Germany 1.000% 2/22/19 EUR 37,650 42,334
Federal Republic of Germany 1.500% 9/4/22 EUR 10,000 11,974
Federal Republic of Germany 1.500% 2/15/23 EUR 125,000 150,159
8 Federal Republic of Germany 1.500% 5/15/23 EUR 163,500 196,933
Federal Republic of Germany 1.500% 5/15/24 EUR 10,000 12,121
8 Federal Republic of Germany 1.750% 7/4/22 EUR 194,246 234,988
Federal Republic of Germany 1.750% 2/15/24 EUR 24,500 30,121
Federal Republic of Germany 2.000% 8/15/23 EUR 81,500 101,197

 

42


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Federal Republic of Germany 2.250% 9/4/20 EUR 11,900 14,220
Federal Republic of Germany 2.250% 9/4/21 EUR 67,400 82,254
8 Federal Republic of Germany 2.500% 1/4/21 EUR 65,000 78,920
Federal Republic of Germany 2.500% 7/4/44 EUR 112,500 163,680
Federal Republic of Germany 2.500% 8/15/46 EUR 66,050 96,983
Federal Republic of Germany 3.000% 7/4/20 EUR 79,000 96,128
Federal Republic of Germany 3.250% 1/4/20 EUR 53,000 63,929
Federal Republic of Germany 3.250% 7/4/21 EUR 17,500 22,098
Federal Republic of Germany 3.250% 7/4/42 EUR 74,569 121,581
Federal Republic of Germany 3.500% 7/4/19 EUR 21,200 25,240
Federal Republic of Germany 3.750% 1/4/19 EUR 63,000 73,872
Federal Republic of Germany 4.000% 1/4/37 EUR 95,268 163,549
Federal Republic of Germany 4.250% 7/4/18 EUR 67,000 77,316
Federal Republic of Germany 4.250% 7/4/39 EUR 48,400 88,189
Federal Republic of Germany 4.750% 7/4/28 EUR 63,500 102,041
9 Federal Republic of Germany 4.750% 7/4/34 EUR 38,300 68,984
Federal Republic of Germany 4.750% 7/4/40 EUR 43,500 85,178
Federal Republic of Germany 5.500% 1/4/31 EUR 80,100 144,262
Federal Republic of Germany 5.625% 1/4/28 EUR 2,365 3,998
Federal Republic of Germany 6.250% 1/4/24 EUR 25,000 38,923
Federal Republic of Germany 6.250% 1/4/30 EUR 10,000 18,638
Federal Republic of Germany 6.500% 7/4/27 EUR 113,000 199,304
7 FMS Wertmanagement AoeR 0.000% 2/18/19 EUR 15,000 16,505
FMS Wertmanagement AoeR 0.000% 4/15/19 EUR 50,000 54,982
FMS Wertmanagement AoeR 0.000% 2/17/20 EUR 20,000 21,949
FMS Wertmanagement AoeR 0.000% 10/20/20 EUR 7,500 8,247
FMS Wertmanagement AoeR 0.050% 7/6/21 EUR 10,000 10,991
FMS Wertmanagement AoeR 0.125% 4/16/20 EUR 4,000 4,416
FMS Wertmanagement AoeR 0.750% 3/14/19 EUR 9,000 10,032
7 FMS Wertmanagement AoeR 0.875% 5/14/21 GBP 20,000 26,118
FMS Wertmanagement AoeR 1.125% 9/3/18 EUR 5,000 5,568
FMS Wertmanagement AoeR 1.250% 3/8/19 GBP 5,000 6,572
FMS Wertmanagement AoeR 1.875% 12/7/18 GBP 10,000 13,251
FMS Wertmanagement AoeR 1.875% 5/9/19 EUR 16,000 18,251
7 FMS Wertmanagement AoeR 3.000% 8/3/18 EUR 2,000 2,276
FMS Wertmanagement AoeR 3.000% 9/8/21 EUR 6,000 7,430
FMS Wertmanagement AoeR 3.375% 6/17/21 EUR 11,000 13,747
Free and Hanseatic City of Hamburg 1.000% 6/18/21 EUR 9,500 10,813
Free and Hanseatic City of Hamburg 1.875% 9/26/22 EUR 9,000 10,769
Free State of Bavaria 1.875% 2/7/19 EUR 18,000 20,385
Gemeinsame Deutsche Bundeslaender 0.375% 6/23/20 EUR 5,000 5,555
Gemeinsame Deutsche Bundeslaender 0.500% 2/5/25 EUR 15,000 16,499
Gemeinsame Deutsche Bundeslaender 1.125% 9/30/24 EUR 1,000 1,153
Gemeinsame Deutsche Bundeslaender 1.375% 10/11/19 EUR 2,459 2,790
Gemeinsame Deutsche Bundeslaender 1.500% 1/29/21 EUR 5,000 5,784
Gemeinsame Deutsche Bundeslaender 1.750% 6/13/22 EUR 14,000 16,591
Gemeinsame Deutsche Bundeslaender 1.750% 1/31/23 EUR 8,000 9,531
Gemeinsame Deutsche Bundeslaender 2.375% 9/21/18 EUR 700 792
Gemeinsame Deutsche Bundeslaender 3.500% 10/7/19 EUR 3,000 3,576
7 KFW 0.000% 12/7/18 EUR 30,000 33,001
7 KFW 0.000% 6/30/21 EUR 51,300 56,588
7 KFW 0.000% 4/28/22 EUR 27,900 30,652
7 KFW 0.000% 9/15/23 EUR 32,000 34,747
7 KFW 0.050% 5/30/24 EUR 3,000 3,248
7 KFW 0.125% 6/1/20 EUR 50,000 55,437

 

43


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
7 KFW 0.125% 10/27/20 EUR 20,000 22,196
7 KFW 0.375% 7/22/19 EUR 10,000 11,119
7 KFW 0.375% 3/15/23 EUR 25,000 27,864
7 KFW 0.375% 3/9/26 EUR 5,000 5,443
7 KFW 0.375% 4/23/30 EUR 15,000 15,316
7 KFW 0.625% 1/15/25 EUR 18,675 20,944
7 KFW 0.875% 6/25/18 EUR 1,500 1,663
7 KFW 0.875% 3/18/19 EUR 20,000 22,396
7 KFW 0.875% 3/15/22 GBP 20,000 26,158
7 KFW 1.125% 10/16/18 EUR 25,000 27,939
7 KFW 1.125% 12/23/19 GBP 500 659
7 KFW 1.125% 1/15/20 EUR 27,000 30,716
7 KFW 1.250% 7/4/36 EUR 23,000 25,341
7 KFW 1.375% 1/28/20 CAD 15,270 11,271
7 KFW 1.500% 6/11/24 EUR 2,460 2,936
7 KFW 1.625% 1/15/21 EUR 43,000 50,366
7 KFW 1.750% 10/29/19 CAD 1,937 1,440
7 KFW 1.875% 3/20/19 EUR 15,000 17,110
7 KFW 2.000% 12/6/18 GBP 9,000 11,972
7 KFW 2.500% 1/17/22 EUR 2,000 2,463
7 KFW 2.500% 8/25/25 CHF 6,500 8,002
7 KFW 2.750% 4/16/20 AUD 5,000 3,801
7 KFW 2.900% 6/6/22 AUD 7,500 5,683
7 KFW 3.125% 6/15/18 EUR 17,000 19,305
7 KFW 3.375% 1/18/21 EUR 25,350 31,505
7 KFW 3.500% 7/4/21 EUR 25,000 31,597
7 KFW 3.750% 7/18/18 AUD 10,000 7,652
7 KFW 3.875% 1/21/19 EUR 10,000 11,743
7 KFW 4.000% 1/16/19 AUD 10,000 7,740
7 KFW 4.700% 6/2/37 CAD 2,350 2,125
7 KFW 4.875% 3/15/37 GBP 4,000 7,870
7 KFW 5.000% 5/22/19 NOK 20,000 2,516
7 KFW 5.000% 3/19/24 AUD 10,000 8,455
7 KFW 5.500% 2/9/22 AUD 18,000 15,241
7 KFW 5.550% 6/7/21 GBP 19,000 29,518
7 KFW 5.750% 6/7/32 GBP 6,000 12,010
7 KFW 6.000% 8/20/20 AUD 10,000 8,368
7 KFW 6.000% 12/7/28 GBP 10,000 19,207
7 KFW 6.250% 2/23/18 AUD 16,000 12,400
7 KFW 6.250% 12/4/19 AUD 3,000 2,477
7 KFW 6.250% 5/19/21 AUD 9,000 7,725
Land Thueringen 0.500% 5/12/25 EUR 4,500 4,907
Land Thueringen 1.625% 8/17/20 EUR 2,462 2,842
Landesbank Baden-Wuerttemberg 0.250% 7/21/20 EUR 400 442
Landesbank Berlin AG 5.875% 11/25/19 EUR 1,500 1,839
Landesbank Hessen-Thueringen Girozentrale 0.000% 1/12/22 EUR 5,500 5,993
Landeskreditbank Baden-Wuerttemberg          
Foerderbank 0.250% 11/25/19 EUR 4,500 4,971
Landeskreditbank Baden-Wuerttemberg          
Foerderbank 2.250% 2/17/21 AUD 20,000 14,817
Landeskreditbank Baden-Wuerttemberg          
Foerderbank 3.750% 1/23/18 AUD 5,000 3,793
7 Landwirtschaftliche Rentenbank 0.375% 1/22/24 EUR 30,000 33,214
7 Landwirtschaftliche Rentenbank 0.625% 2/20/30 EUR 20,000 21,000
7 Landwirtschaftliche Rentenbank 1.125% 12/15/23 GBP 14,600 19,002

 

44


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
7 Landwirtschaftliche Rentenbank 1.250% 5/20/22 EUR 5,000 5,825
7 Landwirtschaftliche Rentenbank 1.875% 11/21/19 CAD 3,000 2,233
2,7 Landwirtschaftliche Rentenbank 1.875% 11/21/19 CAD 2,655 1,976
7 Landwirtschaftliche Rentenbank 1.875% 5/11/20 EUR 1,500 1,745
7 Landwirtschaftliche Rentenbank 2.000% 2/20/19 EUR 3,000 3,416
7 Landwirtschaftliche Rentenbank 2.250% 5/22/19 NOK 10,000 1,196
7 Landwirtschaftliche Rentenbank 2.600% 3/23/27 AUD 3,200 2,281
7 Landwirtschaftliche Rentenbank 2.875% 8/30/21 EUR 13,000 16,065
7 Landwirtschaftliche Rentenbank 4.000% 1/30/20 NZD 8,513 6,005
7 Landwirtschaftliche Rentenbank 4.250% 1/24/23 AUD 7,500 6,049
7 Landwirtschaftliche Rentenbank 4.250% 1/9/25 AUD 10,000 8,035
7 Landwirtschaftliche Rentenbank 4.750% 3/12/19 NZD 5,000 3,567
7 Landwirtschaftliche Rentenbank 5.500% 3/9/20 AUD 15,000 12,239
  NRW Bank 0.000% 2/1/22 EUR 30,000 32,691
  NRW Bank 0.100% 1/10/23 EUR 25,000 27,169
  NRW Bank 0.125% 3/10/23 EUR 5,000 5,441
  NRW Bank 0.500% 7/23/18 EUR 10,000 11,010
  NRW Bank 0.500% 5/11/26 EUR 12,000 13,026
  NRW Bank 0.625% 2/11/26 EUR 15,000 16,492
  NRW Bank 1.250% 10/22/18 EUR 5,000 5,575
  NRW Bank 3.875% 1/27/20 EUR 4,000 4,852
  State of Baden-Wurttemberg 0.625% 2/9/27 EUR 10,000 10,925
  State of Baden-Wurttemberg 1.000% 7/18/22 EUR 5,000 5,727
  State of Baden-Wurttemberg 2.000% 11/13/23 EUR 8,000 9,739
  State of Berlin 0.500% 2/10/25 EUR 10,000 10,991
  State of Berlin 0.625% 3/20/26 EUR 25,000 27,443
  State of Berlin 0.625% 8/25/36 EUR 1,500 1,432
  State of Berlin 0.750% 11/11/22 EUR 10,000 11,299
  State of Berlin 1.000% 5/19/32 EUR 15,000 15,874
  State of Berlin 1.500% 8/28/20 EUR 2,000 2,304
  State of Berlin 1.500% 1/21/21 EUR 3,300 3,816
  State of Berlin 1.875% 6/12/23 EUR 1,800 2,165
  State of Berlin 3.125% 8/17/21 EUR 30,300 37,577
  State of Berlin 3.250% 5/23/18 EUR 1,500 1,697
  State of Brandenburg 3.500% 6/15/21 EUR 15,000 18,787
  State of Bremen 0.500% 7/30/21 EUR 15,000 16,734
  State of Bremen 0.500% 3/3/25 EUR 13,000 14,210
  State of Bremen 1.375% 4/28/21 EUR 1,000 1,152
  State of Hesse 0.250% 6/10/25 EUR 25,000 26,883
  State of Hesse 0.375% 3/10/23 EUR 18,000 19,903
  State of Hesse 0.500% 2/17/25 EUR 10,500 11,544
  State of Hesse 0.750% 8/4/36 EUR 12,000 11,786
  State of Hesse 1.375% 2/5/20 EUR 8,000 9,105
  State of Hesse 1.375% 6/10/24 EUR 4,000 4,688
  State of Hesse 1.750% 6/19/20 EUR 3,730 4,323
  State of Hesse 1.750% 1/20/23 EUR 3,000 3,575
  State of Hesse 3.000% 8/23/21 EUR 12,000 14,833
  State of Hesse 3.500% 3/10/20 EUR 5,000 6,038
  State of Lower Saxony 0.000% 8/2/24 EUR 47,000 50,063
  State of Lower Saxony 0.625% 1/20/25 EUR 10,000 11,103
  State of Lower Saxony 1.000% 8/18/22 EUR 11,000 12,595
  State of Lower Saxony 1.375% 9/26/19 EUR 7,000 7,941
  State of Lower Saxony 2.125% 10/11/23 EUR 1,000 1,223
  State of North Rhine-Westphalia 0.200% 4/17/23 EUR 20,000 21,859
  State of North Rhine-Westphalia 0.200% 2/16/24 EUR 35,800 38,854

 

45


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
State of North Rhine-Westphalia 0.375% 10/19/21 EUR 10,000 11,113
State of North Rhine-Westphalia 0.375% 2/16/23 EUR 4,300 4,755
State of North Rhine-Westphalia 0.500% 3/11/25 EUR 3,000 3,297
State of North Rhine-Westphalia 0.500% 4/16/26 EUR 10,000 10,866
State of North Rhine-Westphalia 0.625% 7/21/31 EUR 15,000 15,194
State of North Rhine-Westphalia 0.750% 1/16/26 EUR 15,000 16,675
State of North Rhine-Westphalia 0.875% 12/16/19 EUR 5,000 5,617
State of North Rhine-Westphalia 1.000% 2/15/19 EUR 7,000 7,819
State of North Rhine-Westphalia 1.250% 3/13/20 EUR 5,000 5,687
State of North Rhine-Westphalia 1.250% 5/12/36 EUR 4,000 4,259
State of North Rhine-Westphalia 1.375% 5/16/22 EUR 5,050 5,873
State of North Rhine-Westphalia 1.500% 12/15/20 EUR 48,000 55,505
State of North Rhine-Westphalia 1.500% 1/14/21 EUR 4,000 4,630
State of North Rhine-Westphalia 1.625% 10/24/30 EUR 10,000 11,607
State of North Rhine-Westphalia 1.875% 9/15/22 EUR 11,150 13,333
State of North Rhine-Westphalia 1.875% 3/15/24 EUR 1,950 2,356
State of North Rhine-Westphalia 2.000% 9/13/18 EUR 1,000 1,125
State of North Rhine-Westphalia 2.000% 10/15/25 EUR 3,000 3,683
State of North Rhine-Westphalia 2.250% 3/1/19 CHF 2,000 2,118
State of North Rhine-Westphalia 2.375% 5/13/33 EUR 6,400 8,102
State of Rhineland-Palatinate 0.100% 8/18/26 EUR 10,000 10,441
State of Rhineland-Palatinate 0.500% 9/3/21 EUR 5,000 5,589
State of Rhineland-Palatinate 0.500% 1/21/25 EUR 6,000 6,599
State of Rhineland-Palatinate 1.250% 1/16/20 EUR 10,745 12,201
State of Rhineland-Palatinate 2.375% 2/23/22 EUR 2,500 3,038
State of Saxony-Anhalt 1.625% 4/25/23 EUR 4,000 4,736
State of Saxony-Anhalt 1.875% 4/10/24 EUR 9,000 10,876
Wirtschafts- und Infrastrukturbank Hessen 1.750% 12/6/22 EUR 2,500 2,956
          6,680,605
Total Germany (Cost $8,172,295)         8,012,349
Hong Kong (0.1%)          
Corporate Bonds (0.1%)          
CK Hutchison Finance 16 II Ltd. 0.875% 10/3/24 EUR 10,500 11,163
CK Hutchison Finance 16 Ltd. 1.250% 4/6/23 EUR 17,000 18,773
1 Hutchison Whampoa Europe Finance 13 Ltd. 3.750% 5/29/49 EUR 1,200 1,343
Hutchison Whampoa Finance 14 Ltd. 1.375% 10/31/21 EUR 100 112
          31,391
Sovereign Bonds (0.0%)          
Hong Kong Special Administrative Region 0.910% 11/5/20 HKD 100,000 12,831
Hong Kong Special Administrative Region 1.470% 2/20/19 HKD 35,000 4,559
Hong Kong Special Administrative Region 2.220% 8/7/24 HKD 30,000 4,111
          21,501
Total Hong Kong (Cost $53,193)         52,892
Hungary (0.1%)          
Sovereign Bonds (0.1%)          
Republic of Hungary 2.500% 10/27/21 HUF 900,000 3,254
Republic of Hungary 3.000% 10/27/27 HUF 14,500,100 49,366
Republic of Hungary 5.500% 6/24/25 HUF 1,000,000 4,090
Republic of Hungary 6.000% 1/11/19 EUR 10,000 12,007
Republic of Hungary 6.000% 11/24/23 HUF 2,910,000 12,239
Total Hungary (Cost $79,379)         80,956

 

46


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
India (0.0%)          
Corporate Bonds (0.0%)          
Bharti Airtel International Netherlands BV 3.000% 3/31/20 CHF 3,000 3,184
Bharti Airtel International Netherlands BV 3.375% 5/20/21 EUR 875 1,033
Total India (Cost $4,418)         4,217
Indonesia (0.0%)          
Sovereign Bonds (0.0%)          
Republic of Indonesia 2.875% 7/8/21 EUR 8,520 9,891
2 Republic of Indonesia 2.875% 7/8/21 EUR 2,500 2,902
Republic of Indonesia 3.375% 7/30/25 EUR 5,000 5,824
Republic of Indonesia 3.750% 6/14/28 EUR 5,000 5,835
Total Indonesia (Cost $24,655)         24,452
Ireland (0.7%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.0%)        
AIB Mortgage Bank 0.625% 2/3/22 EUR 3,000 3,336
Bank of Ireland Mortgage Bank 1.750% 3/19/19 EUR 5,000 5,648
          8,984
Corporate Bonds (0.1%)          
CRH Finance DAC 1.375% 10/18/28 EUR 10,600 11,275
CRH Finance Ltd. 3.125% 4/3/23 EUR 10,850 13,411
CRH Finance Switzerland AG 1.375% 9/30/22 CHF 5,300 5,602
CRH Finland Services Oyj 2.750% 10/15/20 EUR 5,488 6,450
Dali Capital plc 4.799% 12/21/37 GBP 150 252
Freshwater Finance plc 4.607% 10/17/36 GBP 1,125 1,844
Kerry Group Financial Services 2.375% 9/10/25 EUR 10,500 12,512
Ryanair DAC 1.125% 8/15/23 EUR 8,000 8,755
Ryanair Ltd. 1.875% 6/17/21 EUR 2,000 2,296
          62,397
Sovereign Bonds (0.6%)          
DAA Finance plc 6.587% 7/9/18 EUR 500 587
ESB Finance Ltd. 2.125% 6/8/27 EUR 6,000 7,073
ESB Finance Ltd. 3.494% 1/12/24 EUR 1,000 1,274
ESB Finance Ltd. 4.375% 11/21/19 EUR 2,000 2,419
ESB Finance Ltd. 6.500% 3/5/20 GBP 2,000 2,979
Ireland 0.800% 3/15/22 EUR 57,000 64,617
Ireland 1.000% 5/15/26 EUR 41,050 45,311
Ireland 1.700% 5/15/37 EUR 24,690 26,749
Ireland 2.000% 2/18/45 EUR 16,500 18,155
Ireland 2.400% 5/15/30 EUR 28,790 35,492
Ireland 3.400% 3/18/24 EUR 54,950 72,000
Ireland 3.900% 3/20/23 EUR 22,000 29,203
Ireland 4.400% 6/18/19 EUR 10,000 12,027
Ireland 4.500% 10/18/18 EUR 20,000 23,377
Ireland 4.500% 4/18/20 EUR 62,000 77,262
Ireland 5.000% 10/18/20 EUR 24,000 30,956
Ireland 5.400% 3/13/25 EUR 10,450 15,535
Ireland 5.900% 10/18/19 EUR 30,081 37,866
          502,882
Total Ireland (Cost $579,953)         574,263

 

47

 


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Israel (0.3%)          
Corporate Bonds (0.0%)          
Teva Pharmaceutical Finance IV BV 2.875% 4/15/19 EUR 2,000 2,287
Teva Pharmaceutical Finance Netherlands II BV 1.125% 10/15/24 EUR 10,800 11,251
Teva Pharmaceutical Finance Netherlands II BV 1.625% 10/15/28 EUR 7,000 7,003
          20,541
Sovereign Bonds (0.3%)          
State of Israel 1.000% 4/30/21 ILS 65,000 18,044
State of Israel 1.500% 1/18/27 EUR 16,000 17,607
State of Israel 1.750% 8/31/25 ILS 75,000 20,370
State of Israel 2.000% 3/31/27 ILS 99,000 26,791
State of Israel 2.250% 5/31/19 ILS 74,000 21,232
State of Israel 2.875% 1/29/24 EUR 3,400 4,194
State of Israel 3.750% 3/31/24 ILS 37,000 11,632
State of Israel 4.250% 3/31/23 ILS 73,000 23,443
State of Israel 4.625% 3/18/20 EUR 1,000 1,230
State of Israel 5.000% 1/31/20 ILS 69,000 21,378
State of Israel 5.500% 1/31/22 ILS 20,000 6,655
State of Israel 5.500% 1/31/42 ILS 66,000 24,905
State of Israel 6.000% 2/28/19 ILS 44,000 13,409
State of Israel 6.250% 10/30/26 ILS 56,360 21,164
          232,054
Total Israel (Cost $244,692)         252,595
Italy (7.8%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.2%)        
Aeroporti Di Roma SPA 5.441% 2/20/23 GBP 250 381
Banca Monte dei Paschi di Siena SPA 2.875% 7/16/24 EUR 5,500 6,444
1 Banca Monte dei Paschi di Siena SPA 2.875% 4/16/59 EUR 4,000 4,651
Banca Popolare dell’Emilia Romagna SC 0.875% 1/22/22 EUR 5,000 5,562
Banca Popolare di Milano Scarl 0.625% 6/8/23 EUR 10,000 10,769
Banco Popolare SC 0.750% 3/31/22 EUR 10,000 10,966
Cassa di Risparmio di Parma e Piacenza SPA 0.875% 6/16/23 EUR 10,000 10,998
Credito Emiliano SPA 1.875% 2/27/19 EUR 5,000 5,656
Intesa Sanpaolo SPA 0.625% 1/20/22 EUR 5,000 5,541
Intesa Sanpaolo SPA 3.250% 2/10/26 EUR 9,000 11,695
Intesa Sanpaolo SPA 3.375% 1/24/25 EUR 10,500 13,657
Intesa Sanpaolo SPA 3.625% 12/5/22 EUR 4,200 5,402
Intesa Sanpaolo SPA 3.750% 9/25/19 EUR 4,300 5,117
Mediobanca SpA 3.625% 10/17/23 EUR 5,000 6,520
UniCredit SPA 1.875% 1/31/19 EUR 3,600 4,059
UniCredit SPA 2.625% 10/31/20 EUR 5,000 5,935
UniCredit SPA 2.750% 1/31/20 EUR 1,310 1,536
UniCredit SPA 5.000% 10/31/21 EUR 3,000 3,972
UniCredit SPA 5.250% 4/30/23 EUR 9,000 12,580
Unione di Banche Italiane SCPA 3.125% 10/14/20 EUR 8,500 10,244
Unione di Banche Italiane SCPA 5.250% 1/28/21 EUR 2,500 3,248
Unione di Banche Italiane SPA 0.375% 9/14/26 EUR 10,000 10,172
Unione di Banche Italiane SpA 1.000% 1/27/23 EUR 10,000 11,221
Unione di Banche Italiane SpA 1.250% 2/7/25 EUR 2,500 2,820
Unione di Banche Italiane SpA 3.125% 2/5/24 EUR 3,000 3,817
          172,963

 

48

 


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Corporate Bonds (0.5%)          
2i Rete Gas SPA 3.000% 7/16/24 EUR 4,700 5,794
Aeroporti di Roma SPA 3.250% 2/20/21 EUR 3,000 3,598
Assicurazioni Generali SPA 2.875% 1/14/20 EUR 3,120 3,649
Assicurazioni Generali SPA 4.125% 5/4/26 EUR 2,000 2,340
Assicurazioni Generali SPA 5.125% 9/16/24 EUR 6,900 9,574
1 Assicurazioni Generali SPA 7.750% 12/12/42 EUR 16,000 21,348
1 Assicurazioni Generali SPA 10.125% 7/10/42 EUR 2,200 3,200
Atlantia SPA 2.875% 2/26/21 EUR 3,400 4,039
Atlantia SPA 4.500% 2/8/19 EUR 1,000 1,175
Atlantia SPA 5.875% 6/9/24 EUR 300 432
Atlantia SPA 6.250% 6/9/22 GBP 1,820 2,864
Autostrade per l’Italia SpA 1.750% 2/1/27 EUR 300 331
Autostrade per l’Italia SpA 1.875% 11/4/25 EUR 18,935 21,354
Enel Finance International NV 1.375% 6/1/26 EUR 25,000 27,065
Enel Finance International NV 1.966% 1/27/25 EUR 4,000 4,598
Enel Finance International NV 2.750% 12/17/18 CHF 3,000 3,162
Enel Finance International NV 4.875% 3/11/20 EUR 14,740 18,209
Enel Finance International NV 4.875% 4/17/23 EUR 5,000 6,733
Enel Finance International NV 5.000% 7/12/21 EUR 2,000 2,595
Enel Finance International NV 5.000% 9/14/22 EUR 4,000 5,376
Enel Finance International NV 5.625% 8/14/24 GBP 3,000 4,746
Enel Finance International NV 5.750% 10/24/18 EUR 5,400 6,383
Enel Finance International NV 5.750% 9/14/40 GBP 9,300 16,122
Enel SPA 5.750% 6/22/37 GBP 1,000 1,713
Enel SPA 6.250% 6/20/19 GBP 5,550 7,947
Eni SPA 0.625% 9/19/24 EUR 10,000 10,556
Eni SPA 1.625% 5/17/28 EUR 3,000 3,268
Eni SPA 2.625% 11/22/21 EUR 3,000 3,589
Eni SPA 3.250% 7/10/23 EUR 7,360 9,197
Eni SPA 3.625% 1/29/29 EUR 6,000 7,863
Eni SPA 3.750% 6/27/19 EUR 4,000 4,705
Eni SPA 3.750% 9/12/25 EUR 6,300 8,244
Eni SPA 4.250% 2/3/20 EUR 2,570 3,116
Exor SpA 2.125% 12/2/22 EUR 5,000 5,766
FCA Bank SpA 1.250% 9/23/20 EUR 1,600 1,769
FCA Capital Ireland plc 1.250% 6/13/18 EUR 8,000 8,820
FCA Capital Ireland plc 2.625% 4/17/19 EUR 9,000 10,232
Intesa Sanpaolo SPA 1.125% 1/14/20 EUR 5,000 5,540
Intesa Sanpaolo SPA 2.000% 6/18/21 EUR 12,228 13,937
Intesa Sanpaolo SPA 3.000% 1/28/19 EUR 11,000 12,573
Intesa Sanpaolo SPA 3.500% 1/17/22 EUR 8,000 9,695
Intesa Sanpaolo SPA 4.000% 11/8/18 EUR 500 577
Intesa Sanpaolo SPA 4.000% 10/30/23 EUR 4,000 5,041
Intesa Sanpaolo SPA 4.125% 4/14/20 EUR 2,100 2,528
1 Intesa Sanpaolo Vita SPA 4.750% 12/29/49 EUR 3,900 4,329
Italgas SPA 0.500% 1/19/22 EUR 8,000 8,693
Luxottica Group SPA 2.625% 2/10/24 EUR 8,800 10,942
Luxottica Group SPA 3.625% 3/19/19 EUR 2,000 2,327
Mediobanca SPA 1.625% 1/19/21 EUR 5,000 5,619
Snam SPA 0.000% 10/25/20 EUR 3,700 3,997
Societa Iniziative Autostradali e Servizi SPA 4.500% 10/26/20 EUR 1,000 1,242
Terna Rete Elettrica Nazionale SPA 0.875% 2/2/22 EUR 6,466 7,156
Terna Rete Elettrica Nazionale SPA 4.750% 3/15/21 EUR 6,000 7,639
Terna Rete Elettrica Nazionale SPA 4.875% 10/3/19 EUR 900 1,093

 

49


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
UniCredit SPA 0.375% 10/31/26 EUR 11,000 11,176
UniCredit SPA 1.500% 6/19/19 EUR 3,000 3,358
UniCredit SPA 3.250% 1/14/21 EUR 1,500 1,785
UniCredit SPA 3.625% 1/24/19 EUR 3,000 3,466
Unione di Banche Italiane SpA 2.875% 2/18/19 EUR 8,500 9,709
          393,894
Sovereign Bonds (7.1%)          
A2A SPA 1.750% 2/25/25 EUR 2,000 2,245
A2A SPA 3.625% 1/13/22 EUR 4,100 5,089
ACEA SPA 2.625% 7/15/24 EUR 3,000 3,591
Cassa Depositi e Prestiti SPA 2.750% 5/31/21 EUR 2,000 2,342
Ferrovie dello Stato SPA 4.000% 7/22/20 EUR 2,000 2,421
Hera SPA 5.200% 1/29/28 EUR 6,000 8,781
Poste Italiane SPA 3.250% 6/18/18 EUR 650 733
Republic of Italy 0.050% 10/15/19 EUR 50,000 54,189
Republic of Italy 0.100% 4/15/19 EUR 50,000 54,555
Republic of Italy 0.250% 5/15/18 EUR 45,000 49,260
Republic of Italy 0.300% 10/15/18 EUR 50,000 54,764
Republic of Italy 0.350% 11/1/21 EUR 115,000 122,855
Republic of Italy 0.450% 6/1/21 EUR 99,100 107,091
Republic of Italy 0.650% 11/1/20 EUR 105,000 115,228
Republic of Italy 0.650% 10/15/23 EUR 120,000 124,302
Republic of Italy 0.700% 5/1/20 EUR 60,000 65,974
Republic of Italy 0.950% 3/15/23 EUR 50,900 54,382
Republic of Italy 1.050% 12/1/19 EUR 73,000 81,094
Republic of Italy 1.200% 4/1/22 EUR 100,000 109,779
Republic of Italy 1.250% 12/1/26 EUR 50,000 50,462
Republic of Italy 1.350% 4/15/22 EUR 87,000 96,249
Republic of Italy 1.500% 8/1/19 EUR 111,000 124,430
Republic of Italy 1.500% 6/1/25 EUR 112,500 118,843
Republic of Italy 1.600% 6/1/26 EUR 70,000 73,126
Republic of Italy 1.850% 5/15/24 EUR 30,000 33,037
Republic of Italy 2.000% 12/1/25 EUR 85,000 92,513
Republic of Italy 2.150% 12/15/21 EUR 110,000 126,635
Republic of Italy 2.200% 6/1/27 EUR 50,000 54,202
2 Republic of Italy 2.250% 9/1/36 EUR 50,000 49,542
2 Republic of Italy 2.450% 9/1/33 EUR 220,000 231,720
Republic of Italy 2.500% 5/1/19 EUR 121,000 138,075
Republic of Italy 2.500% 12/1/24 EUR 96,000 109,500
2 Republic of Italy 2.700% 3/1/47 EUR 11,822 11,354
2 Republic of Italy 2.800% 3/1/67 EUR 67,170 60,863
2 Republic of Italy 3.250% 9/1/46 EUR 49,500 53,231
Republic of Italy 3.500% 6/1/18 EUR 91,500 103,623
Republic of Italy 3.500% 12/1/18 EUR 40,000 45,979
2 Republic of Italy 3.500% 3/1/30 EUR 82,000 98,677
Republic of Italy 3.750% 3/1/21 EUR 70,000 85,521
Republic of Italy 3.750% 5/1/21 EUR 125,000 152,809
Republic of Italy 3.750% 8/1/21 EUR 50,000 61,280
Republic of Italy 3.750% 9/1/24 EUR 58,000 71,673
Republic of Italy 4.000% 9/1/20 EUR 57,000 69,366
Republic of Italy 4.000% 2/1/37 EUR 119,500 149,527
Republic of Italy 4.250% 2/1/19 EUR 125,000 146,148
Republic of Italy 4.250% 9/1/19 EUR 50,000 59,545
Republic of Italy 4.250% 3/1/20 EUR 49,000 59,256
Republic of Italy 4.500% 8/1/18 EUR 105,000 120,958

 

50

 


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Republic of Italy 4.500% 3/1/19 EUR 85,000 100,119
Republic of Italy 4.500% 2/1/20 EUR 155,000 188,175
Republic of Italy 4.500% 5/1/23 EUR 88,000 112,954
Republic of Italy 4.500% 3/1/24 EUR 93,000 119,890
Republic of Italy 4.500% 3/1/26 EUR 215,000 279,896
Republic of Italy 4.750% 9/1/21 EUR 27,500 34,997
2 Republic of Italy 4.750% 8/1/23 EUR 45,000 58,800
2 Republic of Italy 4.750% 9/1/28 EUR 54,000 72,149
2 Republic of Italy 4.750% 9/1/44 EUR 41,900 56,978
Republic of Italy 5.000% 3/1/22 EUR 36,665 47,446
2 Republic of Italy 5.000% 3/1/25 EUR 90,700 121,335
Republic of Italy 5.000% 8/1/34 EUR 82,000 114,946
Republic of Italy 5.000% 8/1/39 EUR 42,500 59,837
Republic of Italy 5.000% 9/1/40 EUR 75,500 105,263
Republic of Italy 5.250% 11/1/29 EUR 53,000 74,665
Republic of Italy 5.500% 9/1/22 EUR 62,000 82,738
Republic of Italy 5.500% 11/1/22 EUR 70,000 93,580
Republic of Italy 5.750% 2/1/33 EUR 96,800 145,511
Republic of Italy 6.000% 8/4/28 GBP 8,900 14,300
Republic of Italy 6.000% 5/1/31 EUR 95,000 144,420
Republic of Italy 6.500% 11/1/27 EUR 15,000 22,690
Republic of Italy 7.250% 11/1/26 EUR 60,000 93,896
Republic of Italy 9.000% 11/1/23 EUR 20,000 31,854
          5,843,258
Total Italy (Cost $6,663,919)         6,410,115
Japan (21.8%)          
Corporate Bonds (0.5%)          
American Honda Finance Corp. 0.750% 1/17/24 EUR 7,200 7,868
American Honda Finance Corp. 1.300% 3/21/22 GBP 12,000 15,566
American Honda Finance Corp. 1.375% 11/10/22 EUR 5,100 5,826
American Honda Finance Corp. 1.875% 9/4/19 EUR 350 398
Bank of Tokyo-Mitsubishi UFJ Ltd. 0.875% 3/11/22 EUR 5,000 5,530
Bank of Tokyo-Mitsubishi UFJ Ltd. 1.390% 5/31/22 JPY 100,000 950
Bank of Tokyo-Mitsubishi UFJ Ltd. 1.560% 1/20/21 JPY 400,000 3,775
East Japan Railway Co. 4.875% 6/14/34 GBP 5,500 9,592
Honda Canada Finance Inc. 1.823% 12/7/21 CAD 5,000 3,669
Honda Canada Finance Inc. 2.268% 7/15/22 CAD 5,000 3,728
Kirin Holdings Co. Ltd. 1.239% 9/24/21 JPY 300,000 2,819
Mizuho Bank Ltd. 0.270% 1/24/18 JPY 600,000 5,389
Mizuho Bank Ltd. 0.285% 1/25/19 JPY 1,000,000 9,005
Mizuho Bank Ltd. 0.300% 4/26/19 JPY 1,000,000 9,012
Mizuho Bank Ltd. 0.395% 7/25/18 JPY 500,000 4,503
Mizuho Bank Ltd. 0.410% 4/20/18 JPY 900,000 8,100
Mizuho Financial Group Inc. 0.100% 7/22/21 JPY 300,000 2,672
Nippon Telegraph & Telephone Corp. 1.020% 9/17/21 JPY 500,000 4,660
Nippon Telegraph & Telephone Corp. 1.310% 12/18/20 JPY 500,000 4,677
Nippon Telegraph & Telephone Corp. 1.820% 3/20/18 JPY 100,000 910
Nissan Motor Co. Ltd. 0.150% 3/19/21 JPY 1,500,000 13,432
Nissan Motor Co. Ltd. 0.415% 3/20/18 JPY 100,000 901
Nomura Europe Finance NV 1.500% 5/12/21 EUR 5,500 6,206
Nomura Europe Finance NV 1.875% 5/29/18 EUR 8,200 9,113
Nomura Holdings Inc. 1.808% 6/24/20 JPY 600,000 5,671
Norinchukin Bank 0.230% 1/27/21 JPY 1,000,000 9,023
Norinchukin Bank 0.250% 9/27/19 JPY 1,200,000 10,821

 

51


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
  Norinchukin Bank 0.270% 7/27/20 JPY 1,400,000 12,653
  Norinchukin Bank 0.280% 6/26/20 JPY 1,000,000 9,039
  Norinchukin Bank 0.300% 1/26/18 JPY 1,500,000 13,481
  Norinchukin Bank 0.300% 4/27/18 JPY 500,000 4,497
  Norinchukin Bank 0.350% 6/27/17 JPY 700,000 6,282
  Norinchukin Bank 0.400% 5/26/17 JPY 1,400,000 12,561
  Norinchukin Bank 0.400% 9/27/18 JPY 1,000,000 9,016
  Panasonic Corp. 0.387% 3/19/20 JPY 1,400,000 12,650
  Panasonic Corp. 1.081% 3/20/18 JPY 1,400,000 12,668
  Resona Bank Ltd. 1.780% 3/15/22 JPY 500,000 4,815
  Shinkin Central Bank 0.200% 3/27/18 JPY 1,000,000 8,981
  Shinkin Central Bank 0.200% 8/27/19 JPY 450,000 4,052
  Shinkin Central Bank 0.200% 9/27/19 JPY 300,000 2,702
  Shinkin Central Bank 0.225% 11/27/19 JPY 1,000,000 9,014
  Shinkin Central Bank 0.250% 6/27/19 JPY 2,000,000 18,022
  Shinkin Central Bank 0.250% 6/26/20 JPY 2,000,000 18,063
  Shinkin Central Bank 0.300% 7/27/17 JPY 200,000 1,795
  Shinkin Central Bank 0.300% 9/27/17 JPY 200,000 1,796
  Shinkin Central Bank 0.350% 5/26/17 JPY 100,000 897
  Shinkin Central Bank 0.350% 6/27/17 JPY 200,000 1,795
  Shinkin Central Bank 0.350% 9/27/18 JPY 500,000 4,504
  Sumitomo Mitsui Banking Corp. 0.280% 10/20/17 JPY 300,000 2,694
  Sumitomo Mitsui Banking Corp. 1.430% 9/28/20 JPY 600,000 5,611
  Sumitomo Mitsui Banking Corp. 2.250% 12/16/20 EUR 18,500 21,634
  Sumitomo Mitsui Financial Group Inc. 0.849% 9/12/24 JPY 500,000 4,608
  Sumitomo Mitsui Financial Group Inc. 3.662% 3/29/22 AUD 4,400 3,320
  Sumitomo Mitsui Trust Bank Ltd. 1.620% 3/22/22 JPY 500,000 4,780
  Toyota Finance Australia Ltd. 4.250% 5/15/19 AUD 1,000 775
  Toyota Finance Corp. 0.244% 6/20/19 JPY 400,000 3,596
  Toyota Motor Corp. 2.010% 12/20/18 JPY 200,000 1,849
  Toyota Motor Credit Corp. 1.000% 9/10/21 EUR 3,000 3,379
  Toyota Motor Credit Corp. 1.000% 9/27/22 GBP 2,300 2,954
  Toyota Motor Credit Corp. 2.375% 2/1/23 EUR 400 484
            388,783
Sovereign Bonds (21.3%)          
  Central Nippon Expressway Co. Ltd. 0.030% 7/14/21 JPY 900,000 8,060
  Central Nippon Expressway Co. Ltd. 0.030% 9/17/21 JPY 1,000,000 8,954
  Central Nippon Expressway Co. Ltd. 0.262% 6/2/20 JPY 2,700,000 24,381
  Central Nippon Expressway Co. Ltd. 0.294% 3/20/19 JPY 1,000,000 9,013
  Central Nippon Expressway Co. Ltd. 0.501% 3/20/18 JPY 400,000 3,602
10 Deposit Insurance Corp. of Japan 0.100% 1/17/20 JPY 700,000 6,292
  Deposit Insurance Corp. of Japan 0.200% 10/20/17 JPY 1,000,000 8,933
  Development Bank of Japan Inc. 0.101% 3/20/18 JPY 400,000 3,589
10 Development Bank of Japan Inc. 0.240% 1/21/19 JPY 300,000 2,701
10 Development Bank of Japan Inc. 0.450% 3/13/25 JPY 400,000 3,694
10 Development Bank of Japan Inc. 0.645% 3/18/24 JPY 501,000 4,691
10 Development Bank of Japan Inc. 0.819% 9/20/22 JPY 286,000 2,670
10 Development Bank of Japan Inc. 1.400% 2/17/20 JPY 200,000 1,863
10 Development Bank of Japan Inc. 1.700% 9/20/22 JPY 500,000 4,892
  East Nippon Expressway Co. Ltd. 0.005% 6/20/19 JPY 1,800,000 16,133
  East Nippon Expressway Co. Ltd. 0.030% 6/18/21 JPY 500,000 4,480
  East Nippon Expressway Co. Ltd. 0.060% 6/18/21 JPY 280,000 2,512
  East Nippon Expressway Co. Ltd. 0.180% 3/19/20 JPY 650,000 5,848
  East Nippon Expressway Co. Ltd. 0.262% 6/19/20 JPY 1,850,000 16,702
  Japan 0.100% 3/20/18 JPY 10,100,000 90,828

 

52


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Japan 0.100% 8/15/18 JPY 3,000,000 27,017
Japan 0.100% 11/15/18 JPY 50,000,000 450,552
Japan 0.100% 12/15/18 JPY 15,000,000 135,244
Japan 0.100% 1/15/19 JPY 3,000,000 27,056
Japan 0.100% 3/15/19 JPY 18,000,000 162,401
Japan 0.100% 6/20/19 JPY 16,900,000 152,564
Japan 0.100% 9/20/19 JPY 16,500,000 149,052
Japan 0.100% 12/20/19 JPY 33,300,000 300,993
Japan 0.100% 3/20/20 JPY 32,300,000 292,203
Japan 0.100% 6/20/20 JPY 22,000,000 199,121
Japan 0.100% 9/20/20 JPY 35,050,000 317,422
Japan 0.100% 12/20/20 JPY 7,500,000 67,967
Japan 0.100% 3/20/21 JPY 15,000,000 136,002
Japan 0.100% 6/20/21 JPY 53,500,000 485,367
Japan 0.100% 9/20/21 JPY 59,000,000 535,541
Japan 0.100% 12/20/21 JPY 16,000,000 145,391
Japan 0.100% 3/20/22 JPY 30,500,000 277,120
Japan 0.100% 3/20/26 JPY 13,500,000 122,467
Japan 0.100% 6/20/26 JPY 25,900,000 234,757
Japan 0.100% 9/20/26 JPY 40,250,000 364,629
Japan 0.100% 12/20/26 JPY 22,000,000 199,107
Japan 0.100% 3/20/27 JPY 21,500,000 194,498
Japan 0.200% 9/20/18 JPY 5,000,000 45,106
Japan 0.200% 12/20/18 JPY 8,902,250 80,399
Japan 0.200% 3/20/19 JPY 10,400,000 94,023
Japan 0.200% 6/20/19 JPY 17,500,000 158,315
Japan 0.200% 9/20/19 JPY 9,130,000 82,670
Japan 0.200% 6/20/36 JPY 13,000,000 109,749
Japan 0.300% 6/20/18 JPY 16,500,000 148,528
Japan 0.300% 9/20/18 JPY 5,000,000 45,168
Japan 0.300% 12/20/24 JPY 10,500,000 96,924
Japan 0.300% 12/20/25 JPY 9,000,000 83,088
Japan 0.300% 6/20/46 JPY 5,800,000 45,705
Japan 0.400% 3/20/18 JPY 14,210,000 128,125
Japan 0.400% 6/20/18 JPY 2,500,000 22,582
Japan 0.400% 3/20/25 JPY 17,500,000 162,792
Japan 0.400% 6/20/25 JPY 8,000,000 74,421
Japan 0.400% 9/20/25 JPY 14,100,000 131,228
Japan 0.400% 3/20/36 JPY 5,200,000 45,761
Japan 0.400% 3/20/56 JPY 8,500,000 63,562
Japan 0.500% 9/20/24 JPY 1,100,000 10,303
Japan 0.500% 12/20/24 JPY 7,500,000 70,264
Japan 0.500% 9/20/36 JPY 14,350,000 127,987
Japan 0.500% 9/20/46 JPY 11,600,000 96,487
Japan 0.600% 3/20/23 JPY 10,800,000 101,069
Japan 0.600% 9/20/23 JPY 1,000,000 9,388
Japan 0.600% 12/20/23 JPY 15,500,000 145,722
Japan 0.600% 3/20/24 JPY 23,680,000 222,928
Japan 0.600% 6/20/24 JPY 11,500,000 108,404
Japan 0.600% 12/20/36 JPY 23,750,000 215,060
Japan 0.600% 12/20/46 JPY 12,200,000 104,276
Japan 0.700% 12/20/22 JPY 4,000,000 37,582
Japan 0.700% 3/20/37 JPY 7,250,000 66,768
Japan 0.800% 9/20/20 JPY 3,800,000 35,218
Japan 0.800% 6/20/22 JPY 12,000,000 112,908

 

53


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Japan 0.800% 9/20/22 JPY 4,000,000 37,714
Japan 0.800% 12/20/22 JPY 12,500,000 118,080
Japan 0.800% 6/20/23 JPY 13,593,500 128,928
Japan 0.800% 6/20/23 JPY 600,000 5,692
Japan 0.800% 9/20/23 JPY 1,100,000 10,454
Japan 0.800% 3/20/46 JPY 4,500,000 40,732
Japan 0.900% 3/20/22 JPY 4,700,000 44,350
Japan 0.900% 6/20/22 JPY 7,500,000 70,924
Japan 1.000% 9/20/20 JPY 5,000,000 46,644
Japan 1.000% 12/20/21 JPY 11,000,000 103,995
Japan 1.000% 3/20/22 JPY 8,000,000 75,841
Japan 1.000% 3/20/23 JPY 530,000 5,072
Japan 1.000% 12/20/35 JPY 6,300,000 61,630
Japan 1.100% 6/20/20 JPY 5,100,000 47,588
Japan 1.100% 9/20/21 JPY 6,400,000 60,603
Japan 1.100% 12/20/21 JPY 4,200,000 39,883
Japan 1.100% 3/20/33 JPY 450,000 4,510
Japan 1.200% 12/20/20 JPY 7,137,350 67,246
Japan 1.200% 6/20/21 JPY 6,000,000 56,879
Japan 1.200% 12/20/34 JPY 10,100,000 102,282
Japan 1.200% 3/20/35 JPY 21,440,000 216,997
Japan 1.200% 9/20/35 JPY 11,600,000 117,282
Japan 1.300% 12/20/18 JPY 4,800,000 44,122
Japan 1.300% 3/20/19 JPY 4,000,000 36,905
Japan 1.300% 12/20/19 JPY 7,700,000 71,791
Japan 1.300% 3/20/20 JPY 4,400,000 41,163
Japan 1.300% 6/20/20 JPY 4,500,000 42,245
Japan 1.300% 3/20/21 JPY 9,500,000 90,129
Japan 1.300% 6/20/35 JPY 5,700,000 58,556
Japan 1.400% 12/20/18 JPY 5,000,000 46,036
Japan 1.400% 9/20/19 JPY 5,900,000 54,948
Japan 1.400% 9/20/34 JPY 13,900,000 144,992
Japan 1.400% 9/20/45 JPY 1,795,000 18,729
Japan 1.400% 12/20/45 JPY 7,210,000 75,244
Japan 1.400% 3/20/55 JPY 4,275,000 44,478
Japan 1.500% 9/20/18 JPY 9,250,000 84,941
Japan 1.500% 6/20/32 JPY 6,300,000 66,593
Japan 1.500% 3/20/33 JPY 4,275,000 45,225
Japan 1.500% 3/20/34 JPY 15,550,000 164,520
Japan 1.500% 6/20/34 JPY 8,600,000 90,957
Japan 1.500% 12/20/44 JPY 8,900,000 95,044
Japan 1.500% 3/20/45 JPY 9,565,000 102,151
Japan 1.600% 6/20/30 JPY 500,000 5,309
Japan 1.600% 6/20/32 JPY 600,000 6,420
Japan 1.600% 3/20/33 JPY 3,000,000 32,180
Japan 1.600% 12/20/33 JPY 4,600,000 49,329
Japan 1.600% 6/20/45 JPY 2,800,000 30,524
Japan 1.700% 3/20/18 JPY 6,600,000 60,187
Japan 1.700% 12/20/22 JPY 3,500,000 34,661
Japan 1.700% 9/20/31 JPY 25,000,000 270,136
Japan 1.700% 12/20/31 JPY 5,200,000 56,288
Japan 1.700% 3/20/32 JPY 2,000,000 21,655
Japan 1.700% 9/20/32 JPY 13,330,000 144,672
Japan 1.700% 12/20/32 JPY 5,145,000 55,866
Japan 1.700% 6/20/33 JPY 800,000 8,693

 

54


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Japan 1.700% 6/20/33 JPY 7,875,000 85,576
Japan 1.700% 9/20/33 JPY 6,800,000 73,924
Japan 1.700% 12/20/43 JPY 2,900,000 32,156
Japan 1.700% 3/20/44 JPY 7,650,000 84,855
Japan 1.700% 6/20/44 JPY 5,250,000 58,258
Japan 1.700% 9/20/44 JPY 6,050,000 67,269
Japan 1.700% 3/20/54 JPY 7,080,000 79,758
Japan 1.800% 6/20/23 JPY 2,500,000 25,099
Japan 1.800% 9/20/30 JPY 1,400,000 15,215
Japan 1.800% 6/20/31 JPY 4,500,000 49,167
Japan 1.800% 9/20/31 JPY 7,500,000 81,965
Japan 1.800% 12/20/31 JPY 24,850,000 272,197
Japan 1.800% 3/20/32 JPY 1,000,000 10,956
Japan 1.800% 12/20/32 JPY 6,000,000 65,934
Japan 1.800% 3/20/43 JPY 7,300,000 82,493
Japan 1.800% 9/20/43 JPY 600,000 6,781
Japan 1.900% 9/20/23 JPY 3,000,000 30,402
Japan 1.900% 12/20/23 JPY 1,800,000 18,314
Japan 1.900% 3/20/24 JPY 500,000 5,109
Japan 1.900% 6/20/25 JPY 1,150,000 11,961
Japan 1.900% 12/20/28 JPY 7,160,000 77,595
Japan 1.900% 3/20/29 JPY 4,150,000 45,068
Japan 1.900% 9/20/30 JPY 4,300,000 47,231
Japan 1.900% 3/20/31 JPY 6,000,000 66,140
Japan 1.900% 6/20/31 JPY 5,900,000 65,185
Japan 1.900% 9/20/42 JPY 7,500,000 86,147
Japan 1.900% 6/20/43 JPY 343,200 3,949
Japan 1.900% 3/20/53 JPY 3,100,000 36,584
Japan 2.000% 6/21/21 JPY 4,000,000 39,112
Japan 2.000% 12/20/25 JPY 3,260,000 34,394
Japan 2.000% 3/20/27 JPY 1,000,000 10,726
Japan 2.000% 6/20/30 JPY 5,000,000 55,405
Japan 2.000% 12/20/30 JPY 3,000,000 33,394
Japan 2.000% 3/20/31 JPY 11,900,000 132,697
Japan 2.000% 12/20/33 JPY 500,000 5,652
Japan 2.000% 9/20/40 JPY 17,200,000 199,083
Japan 2.000% 9/20/41 JPY 12,800,000 148,957
Japan 2.000% 3/20/42 JPY 12,390,850 144,530
Japan 2.000% 3/20/52 JPY 4,800,000 57,820
Japan 2.100% 9/20/24 JPY 1,150,000 11,989
Japan 2.100% 6/20/25 JPY 3,000,000 31,643
Japan 2.100% 3/20/26 JPY 780,000 8,320
Japan 2.100% 12/20/26 JPY 5,000,000 53,882
Japan 2.100% 12/20/27 JPY 2,000,000 21,848
Japan 2.100% 9/20/28 JPY 6,050,000 66,643
Japan 2.100% 12/20/28 JPY 600,000 6,628
Japan 2.100% 3/20/29 JPY 4,400,000 48,709
Japan 2.100% 6/20/29 JPY 5,450,000 60,494
Japan 2.100% 9/20/29 JPY 8,500,000 94,558
Japan 2.100% 12/20/29 JPY 7,500,000 83,628
Japan 2.100% 12/20/30 JPY 8,015,000 90,187
Japan 2.200% 3/20/26 JPY 800,000 8,595
Japan 2.200% 3/20/28 JPY 3,950,000 43,627
Japan 2.200% 9/20/28 JPY 1,200,000 13,341
Japan 2.200% 12/20/29 JPY 3,000,000 33,789

 

55


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
  Japan 2.200% 3/20/30 JPY 6,300,000 71,098
  Japan 2.200% 3/20/31 JPY 500,000 5,699
  Japan 2.200% 9/20/39 JPY 8,870,000 105,427
  Japan 2.200% 3/20/41 JPY 13,150,000 157,771
  Japan 2.200% 3/20/49 JPY 1,560,000 19,404
  Japan 2.200% 3/20/50 JPY 1,220,000 15,250
  Japan 2.200% 3/20/51 JPY 3,000,000 37,668
  Japan 2.300% 5/20/30 JPY 170,000 1,943
  Japan 2.300% 3/20/35 JPY 2,500,000 29,537
  Japan 2.300% 6/20/35 JPY 3,580,000 42,331
  Japan 2.300% 12/20/35 JPY 2,510,000 29,731
  Japan 2.300% 12/20/36 JPY 750,000 8,923
  Japan 2.300% 3/20/39 JPY 4,430,000 53,368
  Japan 2.300% 3/20/40 JPY 4,450,000 53,940
  Japan 2.400% 3/20/28 JPY 5,850,000 65,751
  Japan 2.400% 6/20/28 JPY 950,000 10,718
  Japan 2.400% 3/20/34 JPY 3,700,000 44,029
  Japan 2.400% 12/20/34 JPY 2,300,000 27,494
  Japan 2.400% 3/20/37 JPY 3,600,000 43,438
  Japan 2.400% 9/20/38 JPY 2,500,000 30,460
  Japan 2.400% 3/20/48 JPY 800,000 10,298
  Japan 2.500% 6/20/34 JPY 2,000,000 24,108
  Japan 2.500% 9/20/34 JPY 400,000 4,834
  Japan 2.500% 9/20/35 JPY 1,000,000 12,162
  Japan 2.500% 3/20/36 JPY 2,200,000 26,795
  Japan 2.500% 6/20/36 JPY 1,400,000 17,067
  Japan 2.500% 9/20/36 JPY 600,000 7,327
  Japan 2.500% 3/20/38 JPY 2,800,000 34,478
  Japan 2.600% 3/20/19 JPY 200,000 1,889
10 Japan Bank for International Cooperation 2.625% 12/15/20 GBP 2,000 2,754
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.140% 4/30/27 JPY 2,200,000 19,558
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.149% 7/31/36 JPY 2,000,000 16,537
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.306% 4/30/36 JPY 1,200,000 10,156
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.320% 1/31/25 JPY 400,000 3,666
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.320% 1/30/26 JPY 751,000 6,886
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.379% 12/26/25 JPY 1,000,000 9,201
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.397% 10/31/36 JPY 200,000 1,709
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.414% 2/28/25 JPY 409,000 3,779
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.450% 3/31/25 JPY 1,000,000 9,250
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.466% 12/27/24 JPY 2,000,000 18,537
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.495% 11/29/24 JPY 1,520,000 14,122
  Japan Expressway Holding & Debt          
  Repayment Agency 0.500% 9/17/38 JPY 200,000 1,669

 

56


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
  Japan Expressway Holding & Debt          
  Repayment Agency 0.500% 3/18/39 JPY 200,000 1,661
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.509% 5/30/25 JPY 480,000 4,462
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.539% 10/31/24 JPY 1,000,000 9,321
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.541% 4/28/23 JPY 700,000 6,472
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.601% 7/31/24 JPY 2,000,000 18,676
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.645% 3/29/24 JPY 1,000,000 9,352
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.660% 2/29/24 JPY 2,000,000 18,715
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.660% 5/31/24 JPY 1,000,000 9,390
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.668% 3/17/23 JPY 800,000 7,447
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.669% 11/30/23 JPY 1,000,000 9,349
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.669% 4/30/24 JPY 1,000,000 9,392
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.693% 12/28/23 JPY 500,000 4,692
  Japan Expressway Holding & Debt          
  Repayment Agency 0.765% 9/20/22 JPY 200,000 1,861
  Japan Expressway Holding & Debt          
  Repayment Agency 0.796% 9/20/22 JPY 300,000 2,796
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.801% 8/31/22 JPY 800,000 7,475
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.805% 11/30/22 JPY 1,500,000 14,043
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.815% 2/28/23 JPY 500,000 4,707
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.819% 9/30/22 JPY 1,500,000 14,036
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.834% 1/31/23 JPY 900,000 8,450
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.839% 7/29/22 JPY 500,000 4,693
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.882% 6/30/23 JPY 800,000 7,579
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.895% 6/30/22 JPY 1,200,000 11,252
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.900% 10/30/20 JPY 1,300,000 12,020
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.900% 11/30/20 JPY 100,000 925
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.911% 7/31/23 JPY 1,000,000 9,467
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.934% 1/31/36 JPY 3,600,000 34,208
10 Japan Expressway Holding & Debt          
  Repayment Agency 0.970% 1/31/35 JPY 2,200,000 21,174

 

57


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.000% 8/31/20 JPY 100,000 926
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.000% 9/30/20 JPY 100,000 928
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.200% 12/27/19 JPY 100,000 925
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.200% 12/28/20 JPY 100,000 936
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.240% 7/31/35 JPY 500,000 4,998
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.300% 1/30/19 JPY 100,000 917
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.300% 5/29/20 JPY 100,000 932
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.400% 7/31/19 JPY 301,000 2,784
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.427% 7/31/34 JPY 600,000 6,187
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.500% 12/27/17 JPY 273,000 2,473
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.500% 5/31/19 JPY 75,000 693
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.500% 6/28/19 JPY 702,000 6,498
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.600% 2/28/18 JPY 100,000 909
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.600% 10/31/18 JPY 501,000 4,601
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.700% 5/26/17 JPY 2,000,000 17,964
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.700% 7/31/18 JPY 900,000 8,242
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.800% 6/29/18 JPY 2,100,000 19,227
10 Japan Expressway Holding & Debt          
  Repayment Agency 1.900% 8/31/17 JPY 500,000 4,514
10 Japan Expressway Holding & Debt          
  Repayment Agency 2.100% 12/28/29 JPY 500,000 5,508
10 Japan Expressway Holding & Debt          
  Repayment Agency 2.300% 2/29/40 JPY 200,000 2,371
  Japan Expressway Holding & Debt          
  Repayment Agency 2.340% 10/20/27 JPY 700,000 7,638
  Japan Expressway Holding & Debt          
  Repayment Agency 2.420% 6/20/28 JPY 880,000 9,746
  Japan Expressway Holding & Debt          
  Repayment Agency 2.450% 3/19/26 JPY 180,000 1,936
  Japan Expressway Holding & Debt          
  Repayment Agency 2.700% 3/20/48 JPY 200,000 2,551
  Japan Expressway Holding & Debt          
  Repayment Agency 2.870% 12/20/46 JPY 80,000 1,060
  Japan Expressway Holding & Debt          
  Repayment Agency 2.960% 3/19/46 JPY 250,000 3,344
  Japan Finance Corp. 0.009% 5/11/18 JPY 650,000 5,828
  Japan Finance Corp. 0.100% 5/25/17 JPY 1,360,000 12,200
10 Japan Finance Corp. 0.160% 9/16/20 JPY 800,000 7,205

 

58


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
10 Japan Finance Corp. 0.194% 3/18/20 JPY 500,000 4,505
10 Japan Finance Organization for Municipalities 0.001% 6/30/20 JPY 1,400,000 12,536
10 Japan Finance Organization for Municipalities 0.140% 4/16/27 JPY 1,200,000 10,677
10 Japan Finance Organization for Municipalities 0.202% 4/24/20 JPY 2,000,000 18,037
10 Japan Finance Organization for Municipalities 0.250% 10/29/18 JPY 900,000 8,101
10 Japan Finance Organization for Municipalities 0.311% 7/28/23 JPY 1,800,000 16,435
10 Japan Finance Organization for Municipalities 0.320% 1/19/26 JPY 1,000,000 9,164
10 Japan Finance Organization for Municipalities 0.400% 1/30/18 JPY 1,150,000 10,344
10 Japan Finance Organization for Municipalities 0.576% 9/24/21 JPY 600,000 5,516
  Japan Finance Organization for Municipalities 0.576% 4/28/23 JPY 800,000 7,389
10 Japan Finance Organization for Municipalities 0.644% 6/14/24 JPY 2,000,000 18,759
10 Japan Finance Organization for Municipalities 0.660% 2/16/24 JPY 1,000,000 9,315
10 Japan Finance Organization for Municipalities 0.660% 5/21/24 JPY 2,970,000 27,883
10 Japan Finance Organization for Municipalities 0.668% 3/17/23 JPY 370,000 3,445
10 Japan Finance Organization for Municipalities 0.669% 11/17/23 JPY 1,579,000 14,786
10 Japan Finance Organization for Municipalities 0.669% 4/12/24 JPY 1,500,000 14,084
  Japan Finance Organization for Municipalities 0.678% 3/28/23 JPY 500,000 4,644
  Japan Finance Organization for Municipalities 0.801% 10/28/22 JPY 800,000 7,463
10 Japan Finance Organization for Municipalities 0.815% 2/17/23 JPY 1,500,000 14,118
  Japan Finance Organization for Municipalities 0.875% 9/22/21 EUR 5,000 5,528
10 Japan Finance Organization for Municipalities 0.882% 6/16/23 JPY 1,000,000 9,442
10 Japan Finance Organization for Municipalities 0.900% 11/17/20 JPY 100,000 925
10 Japan Finance Organization for Municipalities 0.900% 3/14/22 JPY 600,000 5,614
10 Japan Finance Organization for Municipalities 1.400% 12/14/18 JPY 310,000 2,843
10 Japan Finance Organization for Municipalities 1.400% 4/15/19 JPY 800,000 7,370
10 Japan Finance Organization for Municipalities 1.600% 10/16/18 JPY 200,000 1,835
  Japan Finance Organization for Municipalities 1.770% 9/25/18 JPY 400,000 3,674
10 Japan Finance Organization for Municipalities 1.900% 6/22/18 JPY 500,000 4,577
  Japan Finance Organization for Municipalities 1.970% 6/20/18 JPY 500,000 4,583
  Japan Finance Organization for Municipalities 2.290% 4/27/29 JPY 80,000 883
  Japan Highway Public Corp. 1.540% 12/20/22 JPY 500,000 4,854
10 Japan Highway Public Corp. 1.600% 7/15/20 JPY 500,000 4,710
  Major Joint Local Government Bond 0.180% 1/25/27 JPY 3,000,000 26,902
  Major Joint Local Government Bond 0.210% 3/25/27 JPY 1,900,000 17,074
  Major Joint Local Government Bond 0.245% 2/25/27 JPY 1,700,000 15,379
  Major Joint Local Government Bond 0.406% 4/25/25 JPY 3,650,000 33,555
  Major Joint Local Government Bond 0.448% 2/25/25 JPY 1,000,000 9,210
  Major Joint Local Government Bond 0.456% 12/25/24 JPY 2,400,000 22,118
  Major Joint Local Government Bond 0.470% 3/25/25 JPY 4,750,000 43,906
  Major Joint Local Government Bond 0.496% 11/25/25 JPY 1,000,000 9,264
  Major Joint Local Government Bond 0.500% 8/25/25 JPY 1,600,000 14,798
  Major Joint Local Government Bond 0.548% 6/25/25 JPY 2,500,000 23,242
  Major Joint Local Government Bond 0.553% 5/23/25 JPY 5,000,000 46,421
  Major Joint Local Government Bond 0.553% 7/25/25 JPY 1,143,700 10,639
  Major Joint Local Government Bond 0.554% 9/25/24 JPY 1,500,000 13,920
  Major Joint Local Government Bond 0.566% 8/23/24 JPY 500,000 4,644
  Major Joint Local Government Bond 0.611% 7/25/24 JPY 700,000 6,520
  Major Joint Local Government Bond 0.659% 6/25/24 JPY 800,000 7,475
  Major Joint Local Government Bond 0.660% 11/24/23 JPY 1,440,000 13,427
  Major Joint Local Government Bond 0.674% 5/24/24 JPY 400,000 3,741
  Major Joint Local Government Bond 0.680% 3/24/23 JPY 700,000 6,514
  Major Joint Local Government Bond 0.710% 12/25/23 JPY 3,700,000 34,622
  Major Joint Local Government Bond 0.720% 12/22/22 JPY 400,000 3,726
  Major Joint Local Government Bond 0.760% 1/25/24 JPY 1,500,000 14,087
  Major Joint Local Government Bond 0.800% 11/25/22 JPY 250,000 2,338

 

59


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
  Major Joint Local Government Bond 0.890% 6/24/22 JPY 800,000 7,494
  Major Joint Local Government Bond 0.900% 10/23/20 JPY 300,000 2,771
  Major Joint Local Government Bond 0.910% 7/25/23 JPY 500,000 4,726
  Major Joint Local Government Bond 1.030% 9/24/21 JPY 400,000 3,744
  Major Joint Local Government Bond 1.030% 11/25/21 JPY 200,000 1,876
  Major Joint Local Government Bond 1.050% 8/25/21 JPY 500,000 4,680
  Major Joint Local Government Bond 1.070% 12/24/21 JPY 400,000 3,761
  Major Joint Local Government Bond 1.170% 7/24/20 JPY 1,100,000 10,226
  Major Joint Local Government Bond 1.180% 5/25/21 JPY 500,000 4,692
  Major Joint Local Government Bond 1.280% 2/25/21 JPY 200,000 1,878
  Major Joint Local Government Bond 1.290% 6/25/20 JPY 130,000 1,212
  Major Joint Local Government Bond 1.320% 12/25/19 JPY 100,000 928
  Major Joint Local Government Bond 1.340% 10/25/19 JPY 300,000 2,778
  Major Joint Local Government Bond 1.380% 3/25/20 JPY 100,000 932
  Major Joint Local Government Bond 1.400% 7/25/19 JPY 300,000 2,773
  Major Joint Local Government Bond 1.440% 4/24/20 JPY 200,000 1,869
  Major Joint Local Government Bond 1.500% 10/25/18 JPY 100,000 917
  Major Joint Local Government Bond 1.540% 8/23/19 JPY 100,000 928
  Major Joint Local Government Bond 1.550% 9/25/18 JPY 100,000 916
  Major Joint Local Government Bond 1.570% 2/23/18 JPY 500,000 4,541
  Major Joint Local Government Bond 1.570% 5/24/19 JPY 453,900 4,201
  Major Joint Local Government Bond 1.640% 6/25/19 JPY 100,000 928
  Major Joint Local Government Bond 1.900% 6/23/17 JPY 200,000 1,798
  Metropolitan Expressway Co. Ltd. 0.030% 6/18/21 JPY 500,000 4,477
  Metropolitan Expressway Co. Ltd. 0.030% 9/17/21 JPY 300,000 2,683
10 Nuclear Damage Liability Facilitation Fund 0.151% 11/17/17 JPY 1,000,000 8,975
  Osaka Prefecture 1.453% 9/26/34 JPY 270,000 2,770
  Shoko Chukin Bank Ltd. 0.020% 12/27/19 JPY 1,700,000 15,236
  Shoko Chukin Bank Ltd. 0.140% 6/27/18 JPY 1,800,000 16,168
  Shoko Chukin Bank Ltd. 0.150% 8/25/17 JPY 800,000 7,179
  Shoko Chukin Bank Ltd. 0.150% 2/27/18 JPY 2,000,000 17,958
  Shoko Chukin Bank Ltd. 0.150% 5/25/18 JPY 800,000 7,186
  Shoko Chukin Bank Ltd. 0.170% 9/27/18 JPY 2,500,000 22,471
  Shoko Chukin Bank Ltd. 0.220% 11/27/20 JPY 1,100,000 9,931
  Shoko Chukin Bank Ltd. 0.230% 10/27/20 JPY 1,300,000 11,739
  Shoko Chukin Bank Ltd. 0.350% 6/27/17 JPY 300,000 2,692
  Tokyo Metropolitan Government 0.210% 3/19/27 JPY 2,000,000 18,005
  Tokyo Metropolitan Government 0.386% 3/19/25 JPY 1,000,000 9,175
  Tokyo Metropolitan Government 0.435% 3/19/25 JPY 2,338,000 21,531
  Tokyo Metropolitan Government 0.444% 12/19/25 JPY 600,000 5,528
  Tokyo Metropolitan Government 0.456% 9/19/25 JPY 500,000 4,611
  Tokyo Metropolitan Government 0.499% 6/20/25 JPY 750,000 6,941
  Tokyo Metropolitan Government 0.533% 6/20/25 JPY 500,000 4,639
  Tokyo Metropolitan Government 0.635% 3/19/24 JPY 700,000 6,532
  Tokyo Metropolitan Government 0.700% 9/20/23 JPY 450,000 4,206
  Tokyo Metropolitan Government 0.730% 12/20/23 JPY 2,000,000 18,754
  Tokyo Metropolitan Government 0.760% 12/20/22 JPY 185,000 1,728
  Tokyo Metropolitan Government 0.770% 9/20/22 JPY 300,000 2,798
  Tokyo Metropolitan Government 0.860% 3/20/23 JPY 800,000 7,524
  Tokyo Metropolitan Government 0.990% 9/17/21 JPY 200,000 1,871
  Tokyo Metropolitan Government 1.020% 9/17/21 JPY 500,000 4,683
  Tokyo Metropolitan Government 1.293% 6/20/35 JPY 100,000 1,003
  Tokyo Metropolitan Government 1.380% 9/20/19 JPY 450,000 4,173
  Tokyo Metropolitan Government 1.400% 3/19/20 JPY 400,000 3,736

 

60


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
  Tokyo Metropolitan Government 1.580% 6/20/19 JPY 200,000 1,856
  Tokyo Metropolitan Government 1.980% 6/20/31 JPY 100,000 1,092
  West Nippon Expressway Co. Ltd. 0.170% 5/22/26 JPY 220,000 1,967
            17,580,139
Total Japan (Cost $17,395,900)         17,968,922
Jersey, C.I. (0.0%)          
Sovereign Bond (0.0%)          
  Bailiwick of Jersey 3.750% 6/9/54 GBP 1,250 2,082
Total Jersey, C.I. (Cost $2,119)         2,082
Latvia (0.0%)          
Sovereign Bonds (0.0%)          
2 Republic of Latvia 2.625% 1/21/21 EUR 1,000 1,199
  Republic of Latvia 2.625% 1/21/21 EUR 1,000 1,199
  Republic of Latvia 2.875% 4/30/24 EUR 1,000 1,265
  Republic of Latvia 5.500% 3/5/18 EUR 2,000 2,284
Total Latvia (Cost $6,711)         5,947
Lithuania (0.0%)          
Sovereign Bond (0.0%)          
  Republic of Lithuania 2.125% 10/29/26 EUR 2,800 3,380
Total Lithuania (Cost $3,480)         3,380
Luxembourg (0.0%)          
Asset-Backed/Commercial Mortgage-Backed Security (0.0%)        
  Nord/LB Covered Finance Bank SA 0.250% 3/10/20 EUR 10,000 10,963
            10,963
Corporate Bond (0.0%)          
  SES GLOBAL Americas Holdings GP 1.875% 10/24/18 EUR 10,100 11,304
            11,304
Sovereign Bonds (0.0%)          
  Grand Duchy of Luxembourg 2.250% 3/21/22 EUR 4,000 4,880
  Grand Duchy of Luxembourg 2.250% 3/19/28 EUR 3,000 3,837
  Grand Duchy of Luxembourg 3.375% 5/18/20 EUR 4,000 4,855
            13,572
Total Luxembourg (Cost $35,498)         35,839
Malaysia (0.5%)          
Sovereign Bonds (0.5%)          
11 Federation of Malaysia 3.260% 3/1/18 MYR 105,000 24,207
  Federation of Malaysia 3.418% 8/15/22 MYR 15,000 3,389
  Federation of Malaysia 3.480% 3/15/23 MYR 110,000 24,804
  Federation of Malaysia 3.492% 3/31/20 MYR 30,000 6,897
  Federation of Malaysia 3.580% 9/28/18 MYR 20,000 4,629
11 Federation of Malaysia 3.654% 10/31/19 MYR 275,000 63,668
11 Federation of Malaysia 3.795% 9/30/22 MYR 160,000 36,836
11 Federation of Malaysia 3.800% 8/17/23 MYR 50,000 11,443
11 Federation of Malaysia 3.844% 4/15/33 MYR 50,000 10,756
11 Federation of Malaysia 3.955% 9/15/25 MYR 382,000 87,073
  Federation of Malaysia 4.048% 9/30/21 MYR 30,000 6,994
  Federation of Malaysia 4.127% 4/15/32 MYR 25,000 5,517
  Federation of Malaysia 4.160% 7/15/21 MYR 190,000 44,466
  Federation of Malaysia 4.181% 7/15/24 MYR 92,000 21,514

 

61


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
  Federation of Malaysia 4.232% 6/30/31 MYR 20,000 4,496
11 Federation of Malaysia 4.254% 5/31/35 MYR 80,000 17,791
  Federation of Malaysia 4.378% 11/29/19 MYR 110,000 25,903
  Federation of Malaysia 4.392% 4/15/26 MYR 10,000 2,350
11 Federation of Malaysia 4.498% 4/15/30 MYR 140,000 32,361
11 Federation of Malaysia 4.736% 3/15/46 MYR 20,000 4,568
Total Malaysia (Cost $501,841)         439,662
Mexico (0.8%)          
Corporate Bonds (0.1%)          
  America Movil SAB de CV 1.000% 6/4/18 EUR 3,500 3,848
  America Movil SAB de CV 1.125% 9/12/18 CHF 1,000 1,020
  America Movil SAB de CV 1.500% 3/10/24 EUR 600 666
  America Movil SAB de CV 2.125% 3/10/28 EUR 10,000 11,070
  America Movil SAB de CV 3.000% 7/12/21 EUR 2,500 2,984
  America Movil SAB de CV 4.375% 8/7/41 GBP 4,000 5,930
  America Movil SAB de CV 4.750% 6/28/22 EUR 5,005 6,519
  America Movil SAB de CV 5.000% 10/27/26 GBP 1,500 2,351
1 America Movil SAB de CV 5.125% 9/6/73 EUR 6,000 6,893
  America Movil SAB de CV 5.750% 6/28/30 GBP 200 333
1 America Movil SAB de CV 6.375% 9/6/73 EUR 5,000 6,348
1 America Movil SAB de CV 6.375% 9/6/73 GBP 3,700 5,217
            53,179
Sovereign Bonds (0.7%)          
  Mexican Bonos 5.750% 3/5/26 MXN 850,000 41,073
  Petroleos Mexicanos 2.750% 4/21/27 EUR 20,000 19,533
  Petroleos Mexicanos 3.125% 11/27/20 EUR 1,000 1,146
  Petroleos Mexicanos 3.750% 4/16/26 EUR 700 761
  Petroleos Mexicanos 5.500% 2/24/25 EUR 12,000 14,834
  Petroleos Mexicanos 8.250% 6/2/22 GBP 2,250 3,543
  United Mexican States 1.375% 1/15/25 EUR 28,540 30,081
  United Mexican States 1.625% 3/6/24 EUR 3,000 3,268
  United Mexican States 2.375% 4/9/21 EUR 4,667 5,416
  United Mexican States 2.750% 4/22/23 EUR 7,000 8,215
  United Mexican States 3.000% 3/6/45 EUR 7,400 7,250
  United Mexican States 3.375% 2/23/31 EUR 8,000 9,177
  United Mexican States 3.625% 4/9/29 EUR 4,000 4,772
  United Mexican States 4.000% 3/15/15 EUR 2,700 2,642
  United Mexican States 4.750% 6/14/18 MXN 775,000 40,279
  United Mexican States 5.000% 12/11/19 MXN 765,000 38,831
  United Mexican States 5.625% 3/19/14 GBP 4,000 5,251
  United Mexican States 6.500% 6/10/21 MXN 765,000 39,842
  United Mexican States 6.500% 6/9/22 MXN 550,000 28,475
  United Mexican States 7.500% 6/3/27 MXN 225,000 12,168
  United Mexican States 7.750% 5/29/31 MXN 445,000 24,172
  United Mexican States 7.750% 11/23/34 MXN 510,000 27,573
  United Mexican States 7.750% 11/13/42 MXN 938,000 50,712
  United Mexican States 8.000% 6/11/20 MXN 470,000 25,632
  United Mexican States 8.000% 12/7/23 MXN 472,600 26,277
  United Mexican States 8.000% 11/7/47 MXN 125,000 6,903
  United Mexican States 8.500% 12/13/18 MXN 600,000 32,663
  United Mexican States 8.500% 5/31/29 MXN 200,000 11,588

 

62


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
United Mexican States 8.500% 11/18/38 MXN 425,000 24,633
United Mexican States 10.000% 12/5/24 MXN 1,133,500 70,261
United Mexican States 10.000% 11/20/36 MXN 160,000 10,524
          627,495
Total Mexico (Cost $807,981)         680,674
Morocco (0.0%)          
Sovereign Bonds (0.0%)          
Kingdom of Morocco 3.500% 6/19/24 EUR 2,000 2,369
Kingdom of Morocco 4.500% 10/5/20 EUR 2,000 2,426
Total Morocco (Cost $5,095)         4,795
Netherlands (2.8%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.2%)        
ABN AMRO Bank NV 1.000% 4/13/31 EUR 5,600 5,944
ABN AMRO Bank NV 1.500% 9/30/30 EUR 24,700 28,091
ABN AMRO Bank NV 1.875% 7/31/19 EUR 22,500 25,695
ABN AMRO Bank NV 2.375% 1/23/24 EUR 10,000 12,387
ABN AMRO Bank NV 2.500% 9/5/23 EUR 7,000 8,702
ABN AMRO Bank NV 3.500% 1/18/22 EUR 3,000 3,801
ABN AMRO Bank NV 3.500% 9/21/22 EUR 500 643
ABN AMRO Bank NV 4.250% 4/6/21 EUR 5,000 6,372
Aegon Bank NV 0.250% 5/25/23 EUR 5,000 5,407
ING Bank NV 1.875% 5/22/23 EUR 17,400 20,851
ING Bank NV 2.000% 8/28/20 EUR 10,000 11,672
ING Bank NV 3.625% 8/31/21 EUR 500 631
ING Bank NV 4.750% 5/27/19 EUR 950 1,143
ING Bank NV 5.250% 6/5/18 EUR 10,000 11,565
NIBC Bank NV 0.250% 4/22/22 EUR 20,000 21,822
1 NIBC Bank NV 0.625% 6/1/58 EUR 1,600 1,714
NIBC Bank NV 1.250% 4/8/19 EUR 9,000 10,074
          176,514
Corporate Bonds (0.6%)          
ABN AMRO Bank NV 0.625% 5/31/22 EUR 600 663
ABN AMRO Bank NV 2.500% 12/18/18 GBP 6,000 8,006
ABN AMRO Bank NV 2.500% 11/29/23 EUR 3,000 3,662
1 ABN AMRO Bank NV 2.875% 6/30/25 EUR 10,000 11,511
ABN AMRO Bank NV 4.125% 3/28/22 EUR 5,500 7,089
ABN AMRO Bank NV 4.750% 1/11/19 EUR 9,500 11,199
ABN AMRO Bank NV 4.750% 2/5/19 AUD 6,000 4,649
ABN AMRO Bank NV 6.375% 4/27/21 EUR 4,500 5,990
ABN AMRO Bank NV 7.125% 7/6/22 EUR 6,500 9,131
Achmea BV 2.500% 11/19/20 EUR 2,500 2,926
1 Achmea BV 6.000% 4/4/43 EUR 2,000 2,426
Aegon NV 1.000% 12/8/23 EUR 1,100 1,207
1 Aegon NV 4.000% 4/25/44 EUR 2,400 2,728
Aegon NV 6.625% 12/16/39 GBP 1,000 1,969
Akzo Nobel NV 1.125% 4/8/26 EUR 6,500 7,010
Akzo Nobel NV 4.000% 12/17/18 EUR 2,500 2,898
ASML Holding NV 1.625% 5/28/27 EUR 1,400 1,540
ASML Holding NV 3.375% 9/19/23 EUR 1,000 1,264
Cooperatieve Rabobank UA 1.250% 3/23/26 EUR 10,000 11,113
Cooperatieve Rabobank UA 1.375% 2/3/27 EUR 100 112
Cooperatieve Rabobank UA 1.750% 1/22/19 EUR 8,400 9,448

 

63


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency  (000) ($000)
Cooperatieve Rabobank UA 2.000% 2/6/19 CHF 1,000 1,047
Cooperatieve Rabobank UA 2.000% 9/16/21 CHF 8,900 9,746
Cooperatieve Rabobank UA 2.375% 5/22/23 EUR 5,000 6,056
1 Cooperatieve Rabobank UA 2.500% 5/26/26 EUR 5,000 5,734
Cooperatieve Rabobank UA 3.125% 9/15/26 CHF 4,000 5,046
Cooperatieve Rabobank UA 3.500% 10/17/18 EUR 1,700 1,951
Cooperatieve Rabobank UA 3.625% 7/2/19 CHF 2,500 2,730
Cooperatieve Rabobank UA 3.750% 11/9/20 EUR 19,000 23,173
Cooperatieve Rabobank UA 3.875% 7/25/23 EUR 5,600 7,115
Cooperatieve Rabobank UA 4.000% 1/11/22 EUR 5,800 7,408
Cooperatieve Rabobank UA 4.000% 9/19/22 GBP 3,187 4,689
Cooperatieve Rabobank UA 4.125% 1/14/20 EUR 10,050 12,156
Cooperatieve Rabobank UA 4.125% 1/12/21 EUR 6,400 7,993
Cooperatieve Rabobank UA 4.125% 9/14/22 EUR 8,000 10,175
Cooperatieve Rabobank UA 4.125% 7/14/25 EUR 15,000 20,514
Cooperatieve Rabobank UA 4.550% 8/30/29 GBP 3,608 5,873
Cooperatieve Rabobank UA 4.625% 5/23/29 GBP 4,500 6,590
Cooperatieve Rabobank UA 4.750% 6/6/22 EUR 5,000 6,663
Cooperatieve Rabobank UA 5.250% 9/14/27 GBP 11,312 17,260
Cooperatieve Rabobank UA 5.250% 5/23/41 GBP 800 1,491
Cooperatieve Rabobank UA 5.875% 5/20/19 EUR 10,000 12,177
Cooperatieve Rabobank UA 7.250% 4/20/18 AUD 5,250 4,120
1 Delta Lloyd Levensverzekering NV 9.000% 8/29/42 EUR 3,000 4,302
1 Eneco Holding NV 3.250% 12/29/49 EUR 3,500 4,006
F Van Lanschot Bankiers NV 3.125% 6/5/18 EUR 1,500 1,687
Heineken NV 1.375% 1/29/27 EUR 100 110
Heineken NV 1.500% 12/7/24 EUR 5,000 5,694
Heineken NV 2.000% 4/6/21 EUR 1,000 1,163
Heineken NV 2.875% 8/4/25 EUR 5,900 7,353
ING Bank NV 0.750% 11/24/20 EUR 1,600 1,779
ING Bank NV 0.750% 2/22/21 EUR 10,500 11,674
ING Bank NV 1.250% 12/13/19 EUR 5,896 6,630
1 ING Bank NV 3.500% 11/21/23 EUR 4,500 5,140
1 ING Bank NV 3.625% 2/25/26 EUR 15,000 17,851
ING Bank NV 4.500% 2/21/22 EUR 10,500 13,718
ING Bank NV 4.875% 1/18/21 EUR 1,000 1,278
1 ING Bank NV 6.125% 5/29/23 EUR 1,000 1,157
1 ING Bank NV 6.875% 5/29/23 GBP 2,300 3,146
ING Groep NV 0.750% 3/9/22 EUR 17,000 18,585
JAB Holdings BV 1.625% 4/30/25 EUR 4,000 4,410
JAB Holdings BV 2.125% 9/16/22 EUR 3,000 3,471
Klepierre 3.250% 2/26/21 EUR 7,182 8,732
Koninklijke DSM NV 1.000% 4/9/25 EUR 3,200 3,538
Koninklijke DSM NV 1.750% 11/13/19 EUR 1,000 1,136
Koninklijke DSM NV 2.375% 4/3/24 EUR 1,500 1,824
Koninklijke KPN NV 0.625% 4/9/25 EUR 10,000 10,450
Koninklijke KPN NV 3.250% 2/1/21 EUR 5,630 6,784
Koninklijke KPN NV 3.750% 9/21/20 EUR 1,200 1,461
Koninklijke KPN NV 5.000% 11/18/26 GBP 3,660 5,641
Koninklijke KPN NV 5.750% 9/17/29 GBP 3,000 5,004
Koninklijke KPN NV 6.000% 5/29/19 GBP 400 571
NIBC Bank NV 1.500% 1/31/22 EUR 2,000 2,196
NIBC Bank NV 2.000% 7/26/18 EUR 7,000 7,794
1 NN Group NV 4.500% 7/15/49 EUR 5,500 6,225
1 NN Group NV 4.625% 4/8/44 EUR 2,600 3,070

 

64


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
PostNL NV 7.500% 8/14/18 GBP 2,580 3,621
Rabobank Capital Funding Trust IV 5.556% 10/29/49 GBP 200 275
Robert Bosch Investment Nederland BV 1.625% 5/24/21 EUR 800 922
Robert Bosch Investment Nederland BV 2.625% 5/24/28 EUR 1,000 1,266
Schlumberger Finance BV 1.500% 3/4/19 EUR 10,000 11,204
Shell International Finance BV 0.375% 2/15/25 EUR 15,000 15,843
Shell International Finance BV 0.750% 5/12/24 EUR 15,000 16,445
Shell International Finance BV 1.625% 3/24/21 EUR 10,000 11,517
Shell International Finance BV 2.000% 12/20/19 GBP 5,000 6,696
Shell International Finance BV 4.375% 5/14/18 EUR 1,000 1,140
Wolters Kluwer NV 2.875% 3/21/23 EUR 2,000 2,460
          535,217
Sovereign Bonds (2.0%)          
Alliander NV 2.875% 6/14/24 EUR 500 633
1 Alliander NV 3.250% 11/29/49 EUR 1,000 1,134
Bank Nederlandse Gemeenten NV 0.050% 7/13/24 EUR 15,000 16,037
Bank Nederlandse Gemeenten NV 0.250% 6/7/24 EUR 1,000 1,086
Bank Nederlandse Gemeenten NV 0.375% 1/14/22 EUR 5,000 5,550
Bank Nederlandse Gemeenten NV 0.500% 8/26/22 EUR 37,000 41,277
Bank Nederlandse Gemeenten NV 0.750% 5/21/18 EUR 19,600 21,626
Bank Nederlandse Gemeenten NV 1.000% 3/19/19 EUR 14,000 15,651
Bank Nederlandse Gemeenten NV 1.000% 1/12/26 EUR 5,000 5,646
Bank Nederlandse Gemeenten NV 1.125% 9/4/24 EUR 1,400 1,612
Bank Nederlandse Gemeenten NV 1.375% 10/21/30 EUR 6,000 6,744
Bank Nederlandse Gemeenten NV 1.875% 12/7/18 GBP 2,800 3,706
Bank Nederlandse Gemeenten NV 1.875% 6/6/19 EUR 18,000 20,546
Bank Nederlandse Gemeenten NV 1.875% 1/14/21 EUR 12,000 14,065
Bank Nederlandse Gemeenten NV 2.250% 10/14/20 CHF 7,000 7,718
Bank Nederlandse Gemeenten NV 2.250% 8/30/22 EUR 5,000 6,082
Bank Nederlandse Gemeenten NV 2.500% 10/14/19 CHF 3,920 4,247
Bank Nederlandse Gemeenten NV 3.750% 1/14/20 EUR 5,000 6,053
Bank Nederlandse Gemeenten NV 3.875% 5/26/23 EUR 3,000 4,004
Bank Nederlandse Gemeenten NV 4.750% 3/6/23 AUD 5,000 4,093
Bank Nederlandse Gemeenten NV 5.200% 12/7/28 GBP 3,200 5,620
Bank Nederlandse Gemeenten NV 5.250% 5/20/24 AUD 5,000 4,223
Enexis Holding NV 1.875% 11/13/20 EUR 1,500 1,738
2 Kingdom of Netherlands 0.000% 1/15/22 EUR 80,000 88,485
Kingdom of Netherlands 0.250% 1/15/20 EUR 55,000 61,403
2 Kingdom of Netherlands 0.250% 7/15/25 EUR 111,000 120,964
2 Kingdom of Netherlands 0.500% 7/15/26 EUR 72,000 79,180
2 Kingdom of Netherlands 1.250% 1/15/19 EUR 24,000 27,021
2 Kingdom of Netherlands 1.750% 7/15/23 EUR 77,000 93,598
2 Kingdom of Netherlands 2.000% 7/15/24 EUR 69,600 86,437
2 Kingdom of Netherlands 2.250% 7/15/22 EUR 57,500 70,954
2 Kingdom of Netherlands 2.500% 1/15/33 EUR 54,700 74,598
2 Kingdom of Netherlands 2.750% 1/15/47 EUR 33,850 51,433
2 Kingdom of Netherlands 3.250% 7/15/21 EUR 63,900 80,575
2 Kingdom of Netherlands 3.500% 7/15/20 EUR 30,603 37,730
Kingdom of Netherlands 3.750% 1/15/23 EUR 10,000 13,368
2 Kingdom of Netherlands 3.750% 1/15/42 EUR 53,800 92,942
2 Kingdom of Netherlands 4.000% 7/15/18 EUR 16,800 19,328
2 Kingdom of Netherlands 4.000% 7/15/19 EUR 75,000 90,160
2 Kingdom of Netherlands 4.000% 1/15/37 EUR 62,000 105,300
Kingdom of Netherlands 5.500% 1/15/28 EUR 45,000 74,510
2 Kingdom of the Netherlands 0.750% 7/15/27 EUR 20,000 22,220

 

65


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Nederlandse Financierings Maatschappij          
voor Ontwikkelingslanden NV 0.125% 4/20/22 EUR 6,347 6,943
Nederlandse Gasunie NV 2.625% 7/13/22 EUR 1,500 1,827
Nederlandse Gasunie NV 3.625% 10/13/21 EUR 3,500 4,392
Nederlandse Waterschapsbank NV 0.500% 10/27/22 EUR 11,600 12,907
Nederlandse Waterschapsbank NV 0.625% 7/3/19 EUR 10,000 11,133
Nederlandse Waterschapsbank NV 1.125% 1/28/19 EUR 2,000 2,237
Nederlandse Waterschapsbank NV 1.250% 5/27/36 EUR 18,200 19,167
Nederlandse Waterschapsbank NV 1.625% 8/23/19 EUR 9,000 10,252
Nederlandse Waterschapsbank NV 1.750% 7/9/20 EUR 2,000 2,317
Nederlandse Waterschapsbank NV 2.000% 12/28/18 GBP 3,000 3,983
Nederlandse Waterschapsbank NV 2.375% 1/27/23 CHF 3,000 3,480
Nederlandse Waterschapsbank NV 3.000% 9/11/31 EUR 6,000 8,106
Nederlandse Waterschapsbank NV 3.250% 3/9/27 EUR 10,000 13,463
Nederlandse Waterschapsbank NV 3.500% 1/14/21 EUR 5,000 6,188
Nederlandse Waterschapsbank NV 3.875% 2/17/20 EUR 1,500 1,825
Nederlandse Waterschapsbank NV 5.375% 6/7/32 GBP 10,000 18,650
TenneT Holding BV 2.125% 11/1/20 EUR 3,900 4,545
TenneT Holding BV 4.500% 2/9/22 EUR 1,500 1,963
          1,622,675
Total Netherlands (Cost $2,407,655)         2,334,406
New Zealand (0.3%)          
Asset-Backed/Commercial Mortgage-Backed Security (0.0%)        
ANZ New Zealand International Ltd. 0.625% 1/27/22 EUR 5,000 5,554
          5,554
Corporate Bonds (0.1%)          
ANZ New Zealand International Ltd. 0.625% 6/1/21 EUR 1,200 1,323
ASB Finance Ltd. 0.500% 6/17/20 EUR 7,912 8,698
ASB Finance Ltd. 0.500% 6/10/22 EUR 20,886 22,649
Bank of New Zealand 4.426% 6/18/20 NZD 2,000 1,414
BNZ International Funding Ltd. 1.250% 5/23/18 EUR 2,800 3,093
Chorus Ltd. 6.750% 4/6/20 GBP 1,100 1,642
Fonterra Co-operative Group Ltd. 4.500% 6/30/21 AUD 1,500 1,174
          39,993
Sovereign Bonds (0.2%)          
New Zealand 2.750% 4/15/25 NZD 60,000 40,567
New Zealand 2.750% 4/15/37 NZD 10,000 6,080
New Zealand 3.000% 4/15/20 NZD 42,300 29,631
New Zealand 3.500% 4/14/33 NZD 20,000 14,075
New Zealand 4.500% 4/15/27 NZD 11,000 8,492
New Zealand 5.000% 3/15/19 NZD 30,000 21,690
New Zealand 5.500% 4/15/23 NZD 25,000 19,772
New Zealand 6.000% 12/15/17 NZD 24,000 16,900
New Zealand 6.000% 5/15/21 NZD 27,500 21,449
New Zealand Local Government Funding          
Agency Ltd. 4.500% 4/15/27 NZD 2,000 1,441
New Zealand Local Government Funding          
Agency Ltd. 5.500% 4/15/23 NZD 5,000 3,830
New Zealand Local Government Funding          
Agency Ltd. 6.000% 5/15/21 NZD 4,000 3,058
          186,985
Total New Zealand (Cost $244,279)         232,532

 

66


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Norway (0.7%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.3%)        
DNB Boligkreditt AS 0.250% 4/18/23 EUR 1,000 1,088
DNB Boligkreditt AS 0.375% 10/20/20 EUR 14,000 15,495
DNB Boligkreditt AS 0.375% 1/14/21 EUR 7,000 7,745
DNB Boligkreditt AS 1.125% 11/12/18 EUR 5,000 5,566
DNB Boligkreditt AS 1.875% 11/21/22 EUR 13,000 15,483
DNB Boligkreditt AS 2.750% 3/21/22 EUR 17,500 21,516
DNB Boligkreditt AS 3.875% 6/16/21 EUR 17,900 22,605
Eika Boligkreditt AS 2.000% 6/19/19 EUR 10,000 11,406
Eika Boligkreditt AS 2.125% 1/30/23 EUR 2,000 2,407
Nordea Eiendomskreditt AS 4.050% 6/21/17 NOK 5,000 585
SpareBank 1 Boligkreditt AS 0.050% 1/25/22 EUR 10,000 10,877
SpareBank 1 Boligkreditt AS 0.750% 9/5/22 EUR 10,000 11,220
SpareBank 1 Boligkreditt AS 1.500% 1/20/20 EUR 34,400 39,176
SpareBank 1 Boligkreditt AS 1.500% 6/12/20 EUR 11,000 12,590
SpareBank 1 Boligkreditt AS 3.375% 9/7/21 EUR 10,000 12,469
Sparebanken Vest Boligkreditt AS 1.250% 1/16/19 EUR 5,000 5,588
SR-Boligkreditt AS 0.125% 9/8/21 EUR 2,500 2,727
SR-Boligkreditt AS 0.500% 9/28/20 EUR 2,500 2,772
          201,315
Corporate Bonds (0.1%)          
1 DNB Bank ASA 3.000% 9/26/23 EUR 3,500 3,956
DNB Bank ASA 4.250% 1/27/20 GBP 6,500 9,210
DNB Bank ASA 4.250% 1/18/22 EUR 300 388
DNB Bank ASA 4.375% 2/24/21 EUR 3,000 3,789
Santander Consumer Bank AS 0.250% 9/30/19 EUR 3,000 3,275
Santander Consumer Bank AS 1.000% 2/25/19 EUR 1,200 1,329
SpareBank 1 Boligkreditt AS 0.125% 11/12/18 EUR 10,000 10,967
SpareBank 1 SMN 0.750% 6/8/21 EUR 19,494 21,532
SpareBank 1 SMN 1.500% 5/20/19 EUR 5,600 6,273
SpareBank 1 SR Bank ASA 2.125% 2/3/20 EUR 1,500 1,723
SpareBank 1 SR-Bank ASA 0.375% 2/10/22 EUR 2,195 2,371
SpareBank 1 SR-Bank ASA 2.000% 5/14/18 EUR 10,200 11,342
SpareBank 1 SR-Bank ASA 2.125% 2/27/19 EUR 5,000 5,654
SpareBank 1 SR-Bank ASA 2.125% 4/14/21 EUR 10,100 11,755
          93,564
Sovereign Bonds (0.3%)          
Avinor AS 1.000% 4/29/25 EUR 100 110
2 Kingdom of Norway 1.500% 2/19/26 NOK 125,000 14,524
2 Kingdom of Norway 1.750% 3/13/25 NOK 175,000 20,846
2 Kingdom of Norway 1.750% 2/17/27 NOK 150,000 17,672
2 Kingdom of Norway 2.000% 5/24/23 NOK 86,650 10,538
2 Kingdom of Norway 3.000% 3/14/24 NOK 214,900 27,752
2 Kingdom of Norway 3.750% 5/25/21 NOK 229,100 29,626
2 Kingdom of Norway 4.500% 5/22/19 NOK 372,850 46,811
Kommunalbanken AS 0.875% 4/8/19 EUR 5,000 5,569
Kommunalbanken AS 4.500% 7/18/22 AUD 3,500 2,825
Kommunalbanken AS 4.500% 4/17/23 AUD 5,248 4,252
Kommunalbanken AS 5.000% 3/28/19 NZD 10,000 7,147
Kommunalbanken AS 5.250% 7/15/24 AUD 4,800 4,090
Statkraft AS 2.500% 11/28/22 EUR 2,500 3,016
Statkraft AS 6.625% 4/2/19 EUR 2,950 3,618
Statoil ASA 0.875% 2/17/23 EUR 20,800 23,087

 

67


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Statoil ASA 1.625% 2/17/35 EUR 5,000 5,405
Statoil ASA 2.000% 9/10/20 EUR 3,000 3,476
Statoil ASA 2.875% 9/10/25 EUR 6,400 8,089
Statoil ASA 5.625% 3/11/21 EUR 22,700 29,911
Statoil ASA 6.875% 3/11/31 GBP 2,750 5,409
Telenor ASA 2.500% 5/22/25 EUR 2,400 2,952
Telenor ASA 2.750% 6/27/22 EUR 5,000 6,086
Telenor ASA 4.125% 3/26/20 EUR 500 608
          283,419
Total Norway (Cost $601,521)         578,298
Peru (0.0%)          
Sovereign Bond (0.0%)          
Republic of Peru 3.750% 3/1/30 EUR 3,000 3,809
Total Peru (Cost $3,297)         3,809
Poland (0.6%)          
Sovereign Bonds (0.6%)          
Republic of Poland 0.000% 10/25/18 PLN 50,000 12,557
Republic of Poland 0.875% 5/10/27 EUR 9,900 10,360
Republic of Poland 1.500% 4/25/20 PLN 120,000 30,222
Republic of Poland 1.500% 9/9/25 EUR 5,000 5,653
Republic of Poland 1.500% 1/19/26 EUR 29,000 32,819
Republic of Poland 1.625% 1/15/19 EUR 20,000 22,426
Republic of Poland 1.750% 7/25/21 PLN 40,000 9,928
Republic of Poland 2.250% 5/15/18 CHF 3,000 3,101
Republic of Poland 2.250% 4/25/22 PLN 248,000 62,179
Republic of Poland 2.500% 7/25/18 PLN 62,550 16,282
Republic of Poland 2.500% 7/25/26 PLN 175,000 42,219
Republic of Poland 2.500% 7/25/27 PLN 30,000 7,110
Republic of Poland 3.250% 5/15/19 CHF 1,500 1,619
Republic of Poland 3.250% 7/25/19 PLN 55,800 14,748
Republic of Poland 3.250% 7/25/25 PLN 130,000 33,536
Republic of Poland 3.375% 7/9/24 EUR 5,000 6,359
Republic of Poland 3.750% 1/19/23 EUR 4,600 5,911
Republic of Poland 4.000% 3/23/21 EUR 2,000 2,505
Republic of Poland 4.000% 10/25/23 PLN 207,875 56,525
Republic of Poland 4.200% 4/15/20 EUR 8,000 9,773
Republic of Poland 4.500% 1/18/22 EUR 5,000 6,520
Republic of Poland 5.250% 10/25/20 PLN 50,000 14,075
Republic of Poland 5.250% 1/20/25 EUR 7,000 9,946
Republic of Poland 5.500% 10/25/19 PLN 53,000 14,769
Republic of Poland 5.625% 6/20/18 EUR 2,000 2,324
Republic of Poland 5.750% 10/25/21 PLN 126,100 36,604
Republic of Poland 5.750% 9/23/22 PLN 41,000 12,036
Republic of Poland 5.750% 4/25/29 PLN 23,850 7,527
Total Poland (Cost $506,322)         489,633
Portugal (0.1%)          
Asset-Backed/Commercial Mortgage-Backed Security (0.0%)        
Caixa Geral de Depositos SA 3.000% 1/15/19 EUR 7,300 8,342
          8,342
Corporate Bonds (0.1%)          
Brisa Concessao Rodoviaria SA 2.000% 3/22/23 EUR 100 113
EDP Finance BV 1.125% 2/12/24 EUR 24,900 26,316
EDP Finance BV 2.375% 3/23/23 EUR 600 691

 

68


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
EDP Finance BV 2.625% 4/15/19 EUR 1,000 1,143
EDP Finance BV 2.625% 1/18/22 EUR 10,955 12,871
EDP Finance BV 4.125% 6/29/20 EUR 5,400 6,561
EDP Finance BV 4.875% 9/14/20 EUR 2,670 3,329
EDP Finance BV 8.625% 1/4/24 GBP 6,600 11,402
          62,426
Total Portugal (Cost $71,084)         70,768
Romania (0.1%)          
Sovereign Bonds (0.1%)          
2 Republic of Romania 2.750% 10/29/25 EUR 11,600 13,327
Republic of Romania 2.875% 5/26/28 EUR 30,000 33,572
Republic of Romania 3.625% 4/24/24 EUR 5,000 6,135
Republic of Romania 4.625% 9/18/20 EUR 3,000 3,745
Republic of Romania 4.875% 11/7/19 EUR 7,000 8,529
Total Romania (Cost $67,045)         65,308
Russia (0.2%)          
Sovereign Bonds (0.2%)          
Russian Federation 6.400% 5/27/20 RUB 1,150,000 19,407
Russian Federation 6.700% 5/15/19 RUB 300,000 5,142
Russian Federation 6.800% 12/11/19 RUB 1,135,715 19,398
Russian Federation 7.000% 1/25/23 RUB 500,000 8,543
Russian Federation 7.000% 8/16/23 RUB 800,000 13,681
Russian Federation 7.050% 1/19/28 RUB 2,050,000 34,632
Russian Federation 7.600% 7/20/22 RUB 300,000 5,274
Russian Federation 8.150% 2/3/27 RUB 2,000,000 36,733
Total Russia (Cost $140,959)         142,810
Singapore (0.4%)          
Sovereign Bonds (0.4%)          
Housing & Development Board 1.470% 7/19/21 SGD 30,000 21,087
Housing & Development Board 2.035% 9/16/26 SGD 9,750 6,744
Housing & Development Board 2.223% 5/28/19 SGD 14,000 10,172
Housing & Development Board 2.288% 9/19/19 SGD 20,000 14,561
Housing & Development Board 3.140% 3/18/21 SGD 10,000 7,504
Republic of Singapore 0.500% 4/1/18 SGD 35,650 25,396
Republic of Singapore 1.625% 10/1/19 SGD 10,000 7,220
Republic of Singapore 2.000% 7/1/20 SGD 20,000 14,592
Republic of Singapore 2.125% 6/1/26 SGD 20,000 14,366
Republic of Singapore 2.250% 6/1/21 SGD 45,000 33,145
Republic of Singapore 2.250% 8/1/36 SGD 25,000 17,502
Republic of Singapore 2.375% 6/1/25 SGD 40,000 29,418
Republic of Singapore 2.500% 6/1/19 SGD 15,000 11,020
Republic of Singapore 2.750% 7/1/23 SGD 10,000 7,534
Republic of Singapore 2.750% 4/1/42 SGD 10,950 8,358
Republic of Singapore 2.750% 3/1/46 SGD 12,500 9,588
Republic of Singapore 2.875% 7/1/29 SGD 3,000 2,296
Republic of Singapore 2.875% 9/1/30 SGD 10,000 7,651
Republic of Singapore 3.000% 9/1/24 SGD 16,000 12,269
Republic of Singapore 3.125% 9/1/22 SGD 19,000 14,575
Republic of Singapore 3.375% 9/1/33 SGD 11,800 9,626
Republic of Singapore 3.500% 3/1/27 SGD 45,000 36,145
Temasek Financial I Ltd. 5.125% 7/26/40 GBP 2,000 3,840
Total Singapore (Cost $332,156)         324,609

 

69


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Slovakia (0.2%)          
Sovereign Bonds (0.2%)          
Republic of Slovakia 0.000% 11/13/23 EUR 38,800 41,033
Republic of Slovakia 1.375% 10/16/19 CHF 2,000 2,096
Republic of Slovakia 1.375% 1/21/27 EUR 11,200 12,543
Republic of Slovakia 1.500% 11/28/18 EUR 2,000 2,241
Republic of Slovakia 1.625% 1/21/31 EUR 14,500 16,294
Republic of Slovakia 3.000% 2/28/23 EUR 5,000 6,421
Republic of Slovakia 3.375% 11/15/24 EUR 20,000 26,267
Republic of Slovakia 3.625% 1/16/29 EUR 3,000 4,112
Republic of Slovakia 4.000% 4/27/20 EUR 15,750 19,445
Republic of Slovakia 4.000% 3/26/21 EUR 1,000 1,272
Republic of Slovakia 4.350% 10/14/25 EUR 6,500 9,447
Total Slovakia (Cost $142,472)         141,171
Slovenia (0.1%)          
Sovereign Bonds (0.1%)          
Republic of Slovenia 1.500% 3/25/35 EUR 12,000 12,214
Republic of Slovenia 2.250% 3/25/22 EUR 11,072 13,400
Republic of Slovenia 3.125% 8/7/45 EUR 10,000 12,623
Republic of Slovenia 4.125% 1/26/20 EUR 2,000 2,434
Republic of Slovenia 4.375% 2/6/19 EUR 2,000 2,356
Republic of Slovenia 4.625% 9/9/24 EUR 4,000 5,657
Republic of Slovenia 5.125% 3/30/26 EUR 8,000 11,869
Total Slovenia (Cost $59,432)         60,553
South Africa (0.4%)          
Sovereign Bonds (0.4%)          
Republic of South Africa 6.250% 3/31/36 ZAR 230,000 12,377
Republic of South Africa 6.500% 2/28/41 ZAR 145,000 7,705
Republic of South Africa 6.750% 3/31/21 ZAR 500,000 36,204
Republic of South Africa 7.000% 2/28/31 ZAR 160,000 9,914
Republic of South Africa 7.250% 1/15/20 ZAR 236,500 17,569
Republic of South Africa 7.750% 2/28/23 ZAR 880,000 64,663
Republic of South Africa 8.000% 12/21/18 ZAR 95,000 7,163
Republic of South Africa 8.000% 1/31/30 ZAR 246,000 16,813
Republic of South Africa 8.250% 3/31/32 ZAR 225,000 15,395
Republic of South Africa 8.500% 1/31/37 ZAR 498,000 33,661
Republic of South Africa 8.750% 1/31/44 ZAR 360,430 24,505
Republic of South Africa 8.750% 2/28/48 ZAR 270,000 18,320
Republic of South Africa 8.875% 2/28/35 ZAR 572,727 40,824
Republic of South Africa 9.000% 1/31/40 ZAR 339,597 23,873
Republic of South Africa 10.500% 12/21/26 ZAR 388,870 32,392
Total South Africa (Cost $402,865)         361,378
South Korea (2.6%)          
Corporate Bond (0.0%)          
Hyundai Capital Services Inc. 3.500% 6/3/21 AUD 395 297
 
Sovereign Bonds (2.6%)          
2 Export-Import Bank of Korea 1.927% 2/24/20 CAD 800 591
Export-Import Bank of Korea 2.000% 4/30/20 EUR 1,800 2,072
2 Export-Import Bank of Korea 2.711% 12/5/19 CAD 3,420 2,560
Korea Development Bank 1.500% 5/30/18 EUR 600 665
Korea Railroad Corp. 1.000% 11/16/18 CHF 4,000 4,094

 

70


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Republic of Korea 1.250% 12/10/19 KRW 90,000,000 78,201
Republic of Korea 1.250% 7/31/21 KRW 20,000,000 17,216
Republic of Korea 1.250% 8/31/21 KRW 17,000,000 14,621
Republic of Korea 1.250% 11/30/21 KRW 10,000,000 8,541
Republic of Korea 1.375% 9/10/21 KRW 173,000,000 149,161
Republic of Korea 1.500% 6/10/19 KRW 70,000,000 61,325
Republic of Korea 1.500% 4/30/21 KRW 20,000,000 17,568
Republic of Korea 1.500% 11/30/21 KRW 40,000,000 34,587
Republic of Korea 1.500% 12/31/21 KRW 40,000,000 34,518
Republic of Korea 1.500% 12/10/26 KRW 70,000,000 57,774
Republic of Korea 1.500% 9/10/36 KRW 95,000,000 72,580
Republic of Korea 1.625% 6/10/18 KRW 30,000,000 26,402
Republic of Korea 1.750% 5/31/20 KRW 20,000,000 17,556
Republic of Korea 1.750% 6/30/20 KRW 10,000,000 8,776
Republic of Korea 1.750% 7/31/20 KRW 38,000,000 33,337
Republic of Korea 1.750% 8/31/20 KRW 30,000,000 26,318
Republic of Korea 1.750% 10/31/20 KRW 10,000,000 8,767
Republic of Korea 1.750% 11/30/20 KRW 20,000,000 17,536
Republic of Korea 1.750% 12/31/20 KRW 10,000,000 8,767
Republic of Korea 1.750% 1/31/21 KRW 10,000,000 8,762
Republic of Korea 1.875% 3/10/22 KRW 20,000,000 17,570
Republic of Korea 1.875% 6/10/26 KRW 182,000,000 155,887
Republic of Korea 2.000% 12/10/17 KRW 120,000,000 105,856
Republic of Korea 2.000% 11/30/19 KRW 10,000,000 8,851
Republic of Korea 2.000% 2/29/20 KRW 30,000,000 26,549
Republic of Korea 2.000% 3/10/20 KRW 60,000,000 53,163
Republic of Korea 2.000% 3/31/20 KRW 10,000,000 8,849
Republic of Korea 2.000% 9/10/20 KRW 45,000,000 39,913
Republic of Korea 2.000% 3/10/46 KRW 65,000,000 53,206
Republic of Korea 2.125% 6/10/24 EUR 4,300 5,095
Republic of Korea 2.125% 3/10/47 KRW 30,000,000 24,980
Republic of Korea 2.250% 6/10/25 KRW 79,000,000 69,977
Republic of Korea 2.250% 12/10/25 KRW 30,000,000 26,544
Republic of Korea 2.500% 9/30/17 KRW 10,000,000 8,835
Republic of Korea 2.500% 4/30/18 KRW 30,000,000 26,589
Republic of Korea 2.625% 9/10/35 KRW 49,000,000 45,191
Republic of Korea 2.750% 3/10/18 KRW 107,000,000 95,075
Republic of Korea 2.750% 9/10/19 KRW 15,000,000 13,512
Republic of Korea 2.750% 12/10/44 KRW 38,000,000 36,326
Republic of Korea 3.000% 6/30/17 KRW 10,000,000 8,818
Republic of Korea 3.000% 3/10/23 KRW 34,000,000 31,574
Republic of Korea 3.000% 9/10/24 KRW 95,000,000 88,604
Republic of Korea 3.000% 12/10/42 KRW 31,000,000 30,848
Republic of Korea 3.125% 3/10/19 KRW 44,000,000 39,733
Republic of Korea 3.250% 9/10/18 KRW 5,000,000 4,495
Republic of Korea 3.375% 9/10/23 KRW 40,000,000 37,977
Republic of Korea 3.750% 12/10/33 KRW 76,500,000 80,892
Republic of Korea 4.000% 12/10/31 KRW 41,000,000 43,740
Republic of Korea 4.250% 6/10/21 KRW 45,000,000 43,326
Republic of Korea 4.750% 12/10/30 KRW 28,000,000 31,690
Republic of Korea 5.000% 6/10/20 KRW 96,500,000 93,171
Republic of Korea 5.250% 3/10/27 KRW 15,500,000 17,309

 

71


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Republic of Korea 5.500% 3/10/28 KRW 20,000,000 23,139
Republic of Korea 5.500% 12/10/29 KRW 16,000,000 19,016
Republic of Korea 5.750% 3/10/26 KRW 14,000,000 15,841
          2,144,436
Total South Korea (Cost $2,147,898)         2,144,733
Spain (5.2%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.5%)        
AyT Cedulas Cajas Global 3.750% 12/14/22 EUR 800 1,030
AyT Cedulas Cajas Global 4.000% 3/24/21 EUR 7,000 8,759
AyT Cedulas Cajas Global 4.250% 10/25/23 EUR 1,000 1,343
AyT Cedulas Cajas Global 4.500% 12/2/19 EUR 5,000 6,080
AyT Cedulas Cajas Global 4.750% 5/25/27 EUR 7,600 10,978
AyT Cedulas Cajas IX Fondo de Titulizacion          
de Activos 4.000% 3/31/20 EUR 7,000 8,505
AyT Cedulas Cajas VIII Fondo de Titulizacion          
de Activos 4.250% 11/18/19 EUR 11,000 13,284
AyT Cedulas Cajas X Fondo de Titulizacion          
de Activos 3.750% 6/30/25 EUR 10,000 13,337
Banco Bilbao Vizcaya Argentaria SA 2.250% 6/12/24 EUR 3,000 3,687
Banco Bilbao Vizcaya Argentaria SA 3.500% 10/7/20 EUR 1,000 1,223
Banco Bilbao Vizcaya Argentaria SA 3.500% 1/24/21 EUR 5,000 6,163
Banco Bilbao Vizcaya Argentaria SA 3.875% 1/30/23 EUR 6,000 7,898
Banco Bilbao Vizcaya Argentaria SA 4.000% 2/25/25 EUR 2,100 2,884
Banco de Sabadell SA 0.875% 11/12/21 EUR 10,000 11,209
Banco Popular Espanol SA 1.000% 4/7/25 EUR 42,000 45,071
Banco Popular Espanol SA 2.125% 10/8/19 EUR 4,000 4,569
Banco Popular Espanol SA 3.750% 1/22/19 EUR 5,000 5,793
Banco Santander SA 0.750% 9/9/22 EUR 20,000 22,417
Banco Santander SA 2.000% 11/27/34 EUR 6,500 7,579
Banco Santander SA 3.875% 2/6/26 EUR 400 551
Banco Santander SA 4.000% 4/7/20 EUR 1,000 1,221
Banco Santander SA 4.625% 5/4/27 EUR 1,100 1,621
Bankia SA 0.875% 1/21/21 EUR 5,800 6,496
Bankia SA 1.000% 9/25/25 EUR 1,200 1,317
Bankia SA 1.125% 8/5/22 EUR 15,000 16,994
Bankia SA 4.000% 2/3/25 EUR 12,300 16,573
Bankia SA 4.125% 3/24/36 EUR 4,700 6,565
Bankia SA 4.250% 5/25/18 EUR 3,450 3,932
Bankia SA 4.500% 4/26/22 EUR 4,050 5,329
Bankia SA 5.000% 6/28/19 EUR 2,000 2,418
Bankinter SA 0.875% 8/3/22 EUR 10,000 11,215
Bankinter SA 1.000% 2/5/25 EUR 5,000 5,535
CaixaBank SA 0.625% 3/27/25 EUR 13,000 13,976
CaixaBank SA 2.625% 3/21/24 EUR 5,600 6,964
CaixaBank SA 3.625% 1/18/21 EUR 5,000 6,160
CaixaBank SA 3.875% 2/17/25 EUR 12,000 16,216
CaixaBank SA 4.625% 6/4/19 EUR 10,400 12,449
Caja Rural de Castilla-La Mancha SCC 0.875% 5/27/24 EUR 5,000 5,511
Caja Rural de Navarra SCC 0.500% 3/16/22 EUR 6,000 6,588
Caja Rural de Navarra SCC 2.875% 6/11/18 EUR 1,700 1,913
Cajamar Caja Rural SCC 1.250% 1/26/22 EUR 3,000 3,370
Cajamar Caja Rural SCC 3.750% 11/22/18 EUR 400 462
Cedulas TDA 4.125% 4/10/21 EUR 11,500 14,474
Cedulas TDA 5 Fondo de Titulizacion de Activos 4.125% 11/29/19 EUR 10,400 12,539

 

72


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Cedulas TDA 6 Fondo de Titulizacion de Activos 3.875% 5/23/25 EUR 7,000 9,409
Cedulas TDA 6 Fondo de Titulizacion de Activos 4.250% 4/10/31 EUR 6,000 8,482
IM Cedulas 10 4.500% 2/21/22 EUR 1,300 1,695
IM Cedulas 7 Fondo de Titulazion de Activos 4.000% 3/31/21 EUR 10,000 12,522
Kutxabank SA 1.750% 5/27/21 EUR 5,000 5,805
          400,111
Corporate Bonds (0.4%)          
Abertis Infraestructuras SA 1.000% 2/27/27 EUR 1,300 1,335
Abertis Infraestructuras SA 1.375% 5/20/26 EUR 700 753
Abertis Infraestructuras SA 3.750% 6/20/23 EUR 3,000 3,819
Abertis Infraestructuras SA 4.375% 3/30/20 EUR 700 855
Abertis Infraestructuras SA 4.750% 10/25/19 EUR 3,500 4,242
Banco Bilbao Vizcaya Argentaria SA 0.750% 1/20/22 EUR 9,000 10,104
Banco Bilbao Vizcaya Argentaria SA 3.500% 2/10/27 EUR 14,000 16,249
Bankia SA 1.000% 3/14/23 EUR 8,700 9,789
1 BBVA Subordinated Capital SAU 3.500% 4/11/24 EUR 8,000 9,180
CaixaBank SA 3.125% 5/14/18 EUR 500 562
Criteria Caixa SAU 1.625% 4/21/22 EUR 3,000 3,334
Criteria Caixa SAU 2.375% 5/9/19 EUR 400 455
Distribuidora Internacional de Alimentacion SA 1.500% 7/22/19 EUR 100 112
Enagas Financiaciones SAU 1.250% 2/6/25 EUR 5,200 5,795
Enagas Financiaciones SAU 1.375% 5/5/28 EUR 200 218
Enagas Financiaciones SAU 2.500% 4/11/22 EUR 1,900 2,289
Ferrovial Emisiones SA 2.500% 7/15/24 EUR 5,000 5,938
Ferrovial Emisiones SA 3.375% 6/7/21 EUR 700 854
Gas Natural Capital Markets SA 5.375% 5/24/19 EUR 7,600 9,189
Gas Natural Fenosa Finance BV 1.250% 4/19/26 EUR 8,600 9,336
Gas Natural Fenosa Finance BV 1.375% 1/21/25 EUR 5,000 5,557
Gas Natural Fenosa Finance BV 2.875% 3/11/24 EUR 4,000 4,912
Gas Natural Fenosa Finance BV 3.500% 4/15/21 EUR 2,300 2,816
Gas Natural Fenosa Finance BV 3.875% 4/11/22 EUR 3,800 4,813
Iberdrola Finanzas SAU 4.125% 3/23/20 EUR 1,050 1,277
Iberdrola Finanzas SAU 6.000% 7/1/22 GBP 6,500 10,245
Iberdrola Finanzas SAU 7.375% 1/29/24 GBP 5,000 8,704
Iberdrola International BV 0.375% 9/15/25 EUR 16,700 17,153
Iberdrola International BV 1.125% 4/21/26 EUR 2,000 2,166
Iberdrola International BV 1.750% 9/17/23 EUR 10,000 11,549
Iberdrola International BV 1.875% 10/8/24 EUR 400 465
Iberdrola International BV 2.500% 10/24/22 EUR 2,600 3,126
Iberdrola International BV 3.000% 1/31/22 EUR 3,000 3,662
Iberdrola International BV 3.500% 2/1/21 EUR 14,000 17,108
Iberdrola International BV 4.250% 10/11/18 EUR 1,000 1,157
Inmobiliaria Colonial SA 1.450% 10/28/24 EUR 500 529
Inmobiliaria Colonial SA 2.728% 6/5/23 EUR 2,200 2,559
Mapfre SA 1.625% 5/19/26 EUR 1,400 1,533
Merlin Properties Socimi SA 2.225% 4/25/23 EUR 200 226
Metrovacesa SA 2.375% 5/23/22 EUR 300 343
Red Electrica de Espana Finance BV 3.875% 1/25/22 EUR 2,000 2,533
Red Electrica Financiaciones SA Unipersonal 2.125% 7/1/23 EUR 6,700 7,957
Red Electrica Financiaciones SA Unipersonal 2.375% 5/31/19 EUR 800 914
Red Electrica Financiaciones SA Unipersonal 4.875% 4/29/20 EUR 2,100 2,613
Repsol International Finance BV 2.625% 5/28/20 EUR 7,800 9,131
Santander Consumer Finance SA 0.750% 4/3/19 EUR 500 552
Santander Consumer Finance SA 0.900% 2/18/20 EUR 15,200 16,880
Santander Consumer Finance SA 1.000% 5/26/21 EUR 100 111

 

73


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date Currency (000) ($000)
  Santander Consumer Finance SA 1.500% 11/12/20 EUR 500 566
  Santander International Debt SAU 4.000% 1/24/20 EUR 5,400 6,500
  Santander Issuances SAU 2.500% 3/18/25 EUR 14,100 15,570
  Santander Issuances SAU 3.250% 4/4/26 EUR 500 580
  Telefonica Emisiones SAU 0.318% 10/17/20 EUR 8,000 8,738
  Telefonica Emisiones SAU 1.460% 4/13/26 EUR 900 979
  Telefonica Emisiones SAU 1.528% 1/17/25 EUR 1,000 1,112
  Telefonica Emisiones SAU 1.930% 10/17/31 EUR 7,300 7,568
  Telefonica Emisiones SAU 2.736% 5/29/19 EUR 6,000 6,902
  Telefonica Emisiones SAU 2.932% 10/17/29 EUR 8,500 10,085
  Telefonica Emisiones SAU 3.961% 3/26/21 EUR 6,000 7,451
  Telefonica Emisiones SAU 3.987% 1/23/23 EUR 9,300 11,882
  Telefonica Emisiones SAU 4.693% 11/11/19 EUR 7,400 8,993
  Telefonica Emisiones SAU 5.289% 12/9/22 GBP 1,000 1,515
  Telefonica Emisiones SAU 5.375% 2/2/26 GBP 1,600 2,499
  Telefonica Emisiones SAU 5.445% 10/8/29 GBP 5,750 9,382
  Telefonica Europe BV 5.875% 2/14/33 EUR 600 938
            336,259
Sovereign Bonds (4.3%)          
  ADIF Alta Velocidad 1.875% 1/28/25 EUR 15,100 16,948
  ADIF Alta Velocidad 3.500% 5/27/24 EUR 12,000 15,035
  Autonomous Community of Madrid Spain 0.727% 5/19/21 EUR 23,300 25,722
  Autonomous Community of Madrid Spain 0.997% 9/30/24 EUR 1,500 1,589
  Autonomous Community of Madrid Spain 1.826% 4/30/25 EUR 5,000 5,546
  Autonomous Community of Madrid Spain 2.875% 7/17/23 EUR 8,950 10,830
  Autonomous Community of Madrid Spain 4.125% 5/21/24 EUR 21,500 27,891
  Autonomous Community of Madrid Spain 4.300% 9/15/26 EUR 5,800 7,652
  Autonomous Community of Madrid Spain 4.688% 3/12/20 EUR 2,000 2,460
12 FADE - Fondo de Amortizacion del Deficit          
  Electrico 0.850% 9/17/19 EUR 4,000 4,453
12 FADE - Fondo de Amortizacion del Deficit          
  Electrico 3.375% 3/17/19 EUR 19,000 22,260
12 FADE - Fondo de Amortizacion del Deficit          
  Electrico 5.900% 3/17/21 EUR 2,000 2,654
12 Instituto de Credito Oficial 4.750% 4/30/20 EUR 9,000 11,192
12 Instituto de Credito Oficial 6.000% 3/8/21 EUR 5,000 6,665
  Kingdom of Spain 0.250% 1/31/19 EUR 280,000 307,501
  Kingdom of Spain 0.400% 4/30/22 EUR 32,000 34,810
  Kingdom of Spain 0.750% 7/30/21 EUR 60,100 67,036
  Kingdom of Spain 1.150% 7/30/20 EUR 80,000 90,582
  Kingdom of Spain 1.400% 1/31/20 EUR 98,900 112,347
2 Kingdom of Spain 1.500% 4/30/27 EUR 103,167 110,963
2 Kingdom of Spain 1.600% 4/30/25 EUR 90,000 100,485
2 Kingdom of Spain 1.950% 4/30/26 EUR 118,610 134,295
2 Kingdom of Spain 1.950% 7/30/30 EUR 131,000 140,901
2 Kingdom of Spain 2.150% 10/31/25 EUR 71,100 82,028
2 Kingdom of Spain 2.350% 7/30/33 EUR 40,000 43,619
  Kingdom of Spain 2.750% 4/30/19 EUR 40,000 46,176
2 Kingdom of Spain 2.750% 10/31/24 EUR 137,000 166,138
2 Kingdom of Spain 2.900% 10/31/46 EUR 25,000 26,981
2 Kingdom of Spain 3.450% 7/30/66 EUR 68,000 76,737
  Kingdom of Spain 3.750% 10/31/18 EUR 58,000 67,071
2 Kingdom of Spain 4.000% 4/30/20 EUR 163,000 199,229
2 Kingdom of Spain 4.100% 7/30/18 EUR 48,000 55,127
2 Kingdom of Spain 4.200% 1/31/37 EUR 165,000 225,895

 

74


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
2 Kingdom of Spain 4.300% 10/31/19 EUR 121,800 147,422
2 Kingdom of Spain 4.400% 10/31/23 EUR 78,000 104,006
2 Kingdom of Spain 4.600% 7/30/19 EUR 30,102 36,326
2 Kingdom of Spain 4.650% 7/30/25 EUR 18,000 24,660
2 Kingdom of Spain 4.700% 7/30/41 EUR 31,000 45,434
2 Kingdom of Spain 4.800% 1/31/24 EUR 40,000 54,611
2 Kingdom of Spain 4.850% 10/31/20 EUR 24,000 30,570
2 Kingdom of Spain 4.900% 7/30/40 EUR 37,000 55,421
2 Kingdom of Spain 5.150% 10/31/28 EUR 77,500 113,448
2 Kingdom of Spain 5.150% 10/31/44 EUR 29,000 45,104
2 Kingdom of Spain 5.400% 1/31/23 EUR 144,000 199,049
2 Kingdom of Spain 5.500% 4/30/21 EUR 27,000 35,756
Kingdom of Spain 5.750% 7/30/32 EUR 35,000 55,774
2 Kingdom of Spain 5.850% 1/31/22 EUR 131,700 180,685
2 Kingdom of Spain 5.900% 7/30/26 EUR 90,000 135,092
Kingdom of Spain 6.000% 1/31/29 EUR 25,000 39,120
          3,551,296
Total Spain (Cost $4,328,544)         4,287,666
Supranational (3.3%)          
Sovereign Bonds (3.3%)          
African Development Bank 5.250% 3/23/22 AUD 10,900 9,062
Asian Development Bank 1.375% 6/11/20 CAD 23,495 17,284
Asian Development Bank 2.600% 1/16/20 AUD 20,000 15,145
Asian Development Bank 3.500% 7/25/18 AUD 8,850 6,754
Asian Development Bank 3.500% 5/22/19 AUD 15,000 11,558
Asian Development Bank 5.000% 3/9/22 AUD 13,000 10,798
Asian Development Bank 6.250% 3/5/20 AUD 5,000 4,160
Corp. Andina de Fomento 0.500% 2/26/26 CHF 3,000 3,054
Council Of Europe Development Bank 0.375% 6/8/26 EUR 8,000 8,554
Council Of Europe Development Bank 1.125% 10/22/18 EUR 15,000 16,726
Council Of Europe Development Bank 1.875% 12/22/18 GBP 5,000 6,627
Council Of Europe Development Bank 3.000% 7/13/20 EUR 6,000 7,219
EUROFIMA 3.000% 5/22/24 CHF 5,000 6,105
EUROFIMA 3.000% 5/15/26 CHF 6,500 8,238
EUROFIMA 3.375% 12/29/20 CHF 4,000 4,582
EUROFIMA 4.000% 10/27/21 EUR 5,000 6,390
EUROFIMA 4.550% 3/30/27 CAD 655 557
EUROFIMA 6.250% 12/28/18 AUD 5,980 4,771
European Bank for Reconstruction &          
Development 0.000% 4/7/27 ZAR 10,000 326
European Bank for Reconstruction &          
Development 1.875% 12/17/18 GBP 5,000 6,633
European Bank for Reconstruction &          
Development 5.625% 12/7/28 GBP 1,000 1,842
European Financial Stability Facility 0.000% 11/17/22 EUR 25,000 27,158
European Financial Stability Facility 0.100% 1/19/21 EUR 20,000 22,027
European Financial Stability Facility 0.125% 11/4/19 EUR 60,000 66,188
4 European Financial Stability Facility 0.200% 4/28/25 EUR 3,000 3,211
4 European Financial Stability Facility 0.400% 5/31/26 EUR 30,000 32,273
4 European Financial Stability Facility 0.500% 1/20/23 EUR 37,000 41,323
European Financial Stability Facility 1.200% 2/17/45 EUR 21,500 20,691
4 European Financial Stability Facility 1.250% 1/22/19 EUR 23,500 26,353
European Financial Stability Facility 1.375% 5/31/47 EUR 8,500 8,567
4 European Financial Stability Facility 1.500% 1/22/20 EUR 31,800 36,397

 

75


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
4 European Financial Stability Facility 1.625% 7/17/20 EUR 16,000 18,490
4 European Financial Stability Facility 1.750% 10/29/20 EUR 23,000 26,792
4 European Financial Stability Facility 1.750% 6/27/24 EUR 27,000 32,389
4 European Financial Stability Facility 1.875% 5/23/23 EUR 16,000 19,290
European Financial Stability Facility 2.000% 2/28/56 EUR 20,000 22,491
4 European Financial Stability Facility 2.125% 2/19/24 EUR 6,500 7,979
4 European Financial Stability Facility 2.250% 9/5/22 EUR 33,000 40,308
4 European Financial Stability Facility 2.350% 7/29/44 EUR 13,600 17,164
4 European Financial Stability Facility 2.625% 5/2/19 EUR 10,000 11,566
4 European Financial Stability Facility 2.750% 12/3/29 EUR 1,500 1,978
4 European Financial Stability Facility 3.000% 9/4/34 EUR 5,000 6,959
4 European Financial Stability Facility 3.375% 7/5/21 EUR 1,675 2,096
4 European Financial Stability Facility 3.375% 4/3/37 EUR 10,000 14,844
4 European Financial Stability Facility 3.875% 3/30/32 EUR 20,000 30,234
European Investment Bank 0.000% 1/15/19 EUR 18,600 20,438
European Investment Bank 0.000% 10/16/23 EUR 30,000 32,407
European Investment Bank 0.000% 3/15/24 EUR 35,000 37,648
European Investment Bank 0.125% 6/15/20 EUR 10,000 11,072
European Investment Bank 0.125% 4/15/25 EUR 20,000 21,438
European Investment Bank 0.250% 10/15/20 EUR 50,000 55,594
European Investment Bank 0.375% 3/15/22 EUR 25,000 27,881
European Investment Bank 0.500% 11/15/23 EUR 20,000 22,372
European Investment Bank 0.500% 1/15/27 EUR 25,000 27,136
European Investment Bank 0.500% 11/13/37 EUR 5,000 4,671
European Investment Bank 0.875% 9/13/24 EUR 33,000 37,598
European Investment Bank 1.000% 7/13/18 EUR 16,700 18,531
European Investment Bank 1.000% 9/21/26 GBP 200 250
European Investment Bank 1.000% 3/14/31 EUR 48,000 51,964
European Investment Bank 1.000% 4/14/32 EUR 20,000 21,533
European Investment Bank 1.125% 2/18/20 CAD 1,650 1,210
European Investment Bank 1.125% 9/7/21 GBP 5,000 6,585
2 European Investment Bank 1.125% 9/16/21 CAD 13,340 9,600
European Investment Bank 1.125% 9/15/36 EUR 17,000 17,988
European Investment Bank 1.250% 8/2/19 CHF 3,000 3,149
European Investment Bank 1.250% 11/5/20 CAD 650 475
2 European Investment Bank 1.250% 11/5/20 CAD 3,500 2,560
European Investment Bank 1.250% 11/13/26 EUR 6,000 6,999
European Investment Bank 1.375% 11/15/19 EUR 33,000 37,616
European Investment Bank 1.375% 9/15/20 EUR 4,000 4,614
European Investment Bank 1.375% 9/15/21 EUR 35,000 40,766
European Investment Bank 1.500% 2/1/19 GBP 38,300 50,568
European Investment Bank 1.500% 7/15/20 EUR 30,000 34,665
European Investment Bank 1.500% 4/15/21 EUR 38,000 44,264
European Investment Bank 1.500% 8/2/24 CHF 2,000 2,267
European Investment Bank 1.625% 3/15/23 EUR 36,150 42,993
European Investment Bank 1.625% 2/4/25 CHF 2,500 2,871
European Investment Bank 1.750% 9/15/45 EUR 10,000 11,402
European Investment Bank 2.125% 2/4/19 CAD 15,315 11,410
2 European Investment Bank 2.125% 2/4/19 CAD 2,000 1,490
European Investment Bank 2.125% 1/15/24 EUR 17,000 21,056
European Investment Bank 2.250% 3/7/20 GBP 12,000 16,310
European Investment Bank 2.250% 10/14/22 EUR 7,000 8,587
European Investment Bank 2.375% 7/10/20 CHF 2,500 2,757
European Investment Bank 2.500% 10/15/18 EUR 8,700 9,894
European Investment Bank 2.500% 2/8/19 CHF 2,000 2,126

 

76


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
European Investment Bank 2.500% 3/15/19 EUR 44,000 50,625
European Investment Bank 2.500% 10/31/22 GBP 5,500 7,727
2 European Investment Bank 2.625% 9/24/18 CAD 841 629
European Investment Bank 2.625% 3/15/35 EUR 7,100 9,450
European Investment Bank 2.750% 9/15/21 EUR 5,000 6,164
European Investment Bank 2.750% 9/15/25 EUR 20,000 26,158
European Investment Bank 2.750% 9/13/30 EUR 10,000 13,433
European Investment Bank 2.750% 3/15/40 EUR 18,550 25,833
European Investment Bank 3.000% 4/23/19 SEK 100,000 12,027
European Investment Bank 3.000% 5/22/19 NOK 25,000 3,025
European Investment Bank 3.000% 9/28/22 EUR 4,000 5,082
European Investment Bank 3.000% 10/14/33 EUR 5,000 6,989
European Investment Bank 3.100% 8/17/26 AUD 5,041 3,708
European Investment Bank 3.125% 6/30/36 CHF 1,000 1,522
European Investment Bank 3.500% 4/15/27 EUR 5,000 7,013
European Investment Bank 3.625% 3/14/42 EUR 5,600 8,954
European Investment Bank 3.750% 12/7/27 GBP 3,800 5,995
European Investment Bank 3.875% 6/8/37 GBP 3,800 6,474
European Investment Bank 4.000% 4/15/30 EUR 7,125 10,725
European Investment Bank 4.250% 4/15/19 EUR 1,300 1,548
European Investment Bank 4.500% 10/15/25 EUR 15,000 22,034
European Investment Bank 4.500% 6/7/29 GBP 12,000 20,424
European Investment Bank 4.500% 3/7/44 GBP 8,500 16,557
European Investment Bank 4.600% 1/30/37 CAD 208 185
European Investment Bank 4.625% 4/15/20 EUR 20,500 25,663
European Investment Bank 4.625% 10/12/54 GBP 2,700 6,004
European Investment Bank 4.750% 10/15/18 GBP 11,600 15,977
European Investment Bank 5.000% 12/1/20 SEK 25,000 3,301
European Investment Bank 5.000% 4/15/39 GBP 2,000 3,966
European Investment Bank 6.000% 10/21/19 ZAR 50,000 3,582
European Investment Bank 6.000% 8/6/20 AUD 17,500 14,598
European Investment Bank 6.000% 12/7/28 GBP 14,000 26,605
European Investment Bank 6.250% 6/8/21 AUD 12,000 10,287
European Investment Bank 6.500% 8/7/19 AUD 8,000 6,562
European Investment Bank 7.500% 1/30/19 ZAR 25,000 1,867
European Stability Mechanism 0.000% 10/18/22 EUR 15,000 16,381
European Stability Mechanism 0.100% 11/3/20 EUR 10,000 11,073
European Stability Mechanism 0.125% 4/22/24 EUR 41,500 44,988
European Stability Mechanism 0.500% 3/2/26 EUR 20,000 21,855
European Stability Mechanism 0.875% 10/15/19 EUR 66,000 74,285
European Stability Mechanism 1.000% 9/23/25 EUR 20,000 22,876
European Stability Mechanism 1.125% 5/3/32 EUR 25,000 27,519
European Stability Mechanism 1.250% 10/15/18 EUR 15,000 16,760
European Stability Mechanism 1.375% 3/4/21 EUR 37,500 43,524
European Stability Mechanism 1.625% 11/17/36 EUR 15,000 17,514
European Stability Mechanism 1.750% 10/20/45 EUR 10,000 11,341
European Stability Mechanism 1.850% 12/1/55 EUR 10,000 11,350
European Stability Mechanism 2.125% 11/20/23 EUR 3,000 3,715
European Union 0.250% 7/4/20 EUR 20,000 22,184
European Union 0.750% 4/4/31 EUR 20,000 21,140
European Union 1.125% 4/4/36 EUR 20,000 21,641
European Union 1.375% 10/4/29 EUR 16,000 18,641
European Union 2.375% 10/4/18 EUR 5,000 5,670
European Union 2.500% 11/4/27 EUR 9,000 11,669
European Union 2.750% 9/21/21 EUR 5,000 6,146

 

77


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
European Union 2.750% 4/4/22 EUR 20,600 25,633
European Union 2.875% 4/4/28 EUR 5,000 6,743
European Union 3.000% 9/4/26 EUR 7,125 9,572
European Union 3.375% 5/10/19 EUR 10,000 11,735
European Union 3.375% 4/4/32 EUR 11,000 15,946
European Union 3.375% 4/4/38 EUR 6,000 9,134
European Union 3.500% 6/4/21 EUR 21,000 26,350
European Union 3.750% 4/4/42 EUR 7,000 11,369
Inter-American Development Bank 1.875% 3/20/20 CAD 6,750 4,996
Inter-American Development Bank 3.250% 2/7/20 AUD 9,000 6,929
Inter-American Development Bank 3.750% 10/9/18 AUD 10,253 7,874
Inter-American Development Bank 3.750% 7/25/22 AUD 22,300 17,576
Inter-American Development Bank 6.000% 2/26/21 AUD 13,000 11,011
International Bank for Reconstruction &          
Development 0.375% 6/15/21 GBP 500 644
International Bank for Reconstruction &          
Development 0.500% 4/16/30 EUR 400 412
International Bank for Reconstruction &          
Development 0.625% 1/12/33 EUR 14,000 14,182
International Bank for Reconstruction &          
Development 1.125% 3/11/20 CAD 2,450 1,792
International Bank for Reconstruction &          
Development 1.375% 12/15/20 GBP 26,000 34,753
International Bank for Reconstruction &          
Development 1.875% 5/30/19 CAD 12,900 9,621
International Bank for Reconstruction &          
Development 2.500% 3/12/20 AUD 20,000 15,111
International Bank for Reconstruction &          
Development 2.800% 1/13/21 AUD 4,000 3,038
International Bank for Reconstruction &          
Development 2.800% 1/12/22 AUD 22,000 16,652
International Bank for Reconstruction &          
Development 3.000% 10/19/26 AUD 10,000 7,409
International Bank for Reconstruction &          
Development 3.375% 1/25/22 NZD 12,000 8,273
International Bank for Reconstruction &          
Development 3.500% 1/24/18 AUD 8,128 6,158
International Bank for Reconstruction &          
Development 3.750% 1/23/19 AUD 10,000 7,708
International Bank for Reconstruction &          
Development 3.750% 2/10/20 NZD 5,000 3,515
International Bank for Reconstruction &          
Development 3.875% 5/20/19 EUR 13,000 15,419
International Bank for Reconstruction &          
Development 4.625% 10/6/21 NZD 5,804 4,215
International Bank for Reconstruction &          
Development 4.875% 12/7/28 GBP 400 707
International Bank for Reconstruction &          
Development 5.400% 6/7/21 GBP 200 310
International Bank for Reconstruction &          
Development 5.750% 10/21/19 AUD 7,000 5,696
International Bank for Reconstruction &          
Development 5.750% 10/1/20 AUD 9,000 7,495
International Bank for Reconstruction &          
Development 5.750% 6/7/32 GBP 6,000 11,977

 

78


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
International Finance Corp. 2.700% 2/5/21 AUD 15,000 11,343
International Finance Corp. 3.500% 6/6/18 AUD 5,000 3,805
International Finance Corp. 3.625% 5/20/20 NZD 8,500 5,941
Nordic Investment Bank 4.125% 3/19/20 NZD 16,495 11,721
Nordic Investment Bank 5.000% 4/19/22 AUD 9,000 7,478
Total Supranational (Cost $2,769,290)         2,679,116
Sweden (1.3%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.6%)        
Landshypotek Bank AB 0.625% 6/17/20 SEK 63,000 7,209
Lansforsakringar Hypotek AB 1.125% 5/7/20 EUR 5,000 5,648
Lansforsakringar Hypotek AB 2.500% 6/19/19 SEK 50,000 5,975
Lansforsakringar Hypotek AB 3.250% 9/16/20 SEK 100,000 12,451
Nordea Hypotek AB 1.000% 4/8/22 SEK 300,000 34,327
Nordea Hypotek AB 2.000% 6/20/18 SEK 140,000 16,167
Nordea Hypotek AB 2.250% 6/19/19 SEK 650,000 77,127
Nordea Hypotek AB 3.250% 6/17/20 SEK 50,000 6,200
Skandinaviska Enskilda Banken AB 1.500% 2/25/20 EUR 10,000 11,408
Skandinaviska Enskilda Banken AB 1.625% 11/4/20 EUR 5,000 5,776
Skandinaviska Enskilda Banken AB 3.000% 6/20/18 SEK 125,000 14,671
Skandinaviska Enskilda Banken AB 3.000% 6/19/19 SEK 150,000 18,000
Skandinaviska Enskilda Banken AB 4.125% 4/7/21 EUR 5,000 6,340
Stadshypotek AB 0.375% 2/22/23 EUR 8,700 9,563
Stadshypotek AB 0.625% 11/10/21 EUR 15,000 16,768
Stadshypotek AB 1.000% 6/19/18 EUR 5,000 5,531
Stadshypotek AB 1.000% 4/1/19 EUR 5,000 5,581
Stadshypotek AB 1.500% 12/15/21 SEK 100,000 11,804
Stadshypotek AB 1.625% 10/30/20 EUR 10,000 11,550
Stadshypotek AB 3.000% 3/21/18 SEK 165,000 18,998
Stadshypotek AB 3.000% 12/19/18 SEK 117,000 13,683
Stadshypotek AB 4.250% 6/17/20 SEK 150,000 19,128
Sveriges Sakerstallda Obligationer AB 0.625% 10/7/21 EUR 2,900 3,242
Sveriges Sakerstallda Obligationer AB 1.000% 3/17/21 SEK 200,000 23,180
Sveriges Sakerstallda Obligationer AB 2.000% 6/17/20 SEK 50,000 5,982
Sveriges Sakerstallda Obligationer AB 4.000% 12/19/18 SEK 20,000 2,414
Swedbank Hypotek AB 0.375% 9/29/20 EUR 19,300 21,369
Swedbank Hypotek AB 0.375% 3/11/22 EUR 5,000 5,527
Swedbank Hypotek AB 1.125% 5/7/20 EUR 5,000 5,658
Swedbank Hypotek AB 1.125% 5/21/21 EUR 2,000 2,280
Swedbank Hypotek AB 3.750% 9/19/18 SEK 150,000 17,887
Swedbank Hypotek AB 3.750% 6/19/19 SEK 300,000 36,715
Swedbank Hypotek AB 5.700% 5/12/20 SEK 100,000 13,213
          471,372
Corporate Bonds (0.3%)          
Alfa Laval Treasury International AB 1.375% 9/12/22 EUR 400 451
Atlas Copco AB 2.500% 2/28/23 EUR 4,500 5,458
Investor AB 4.500% 5/12/23 EUR 2,000 2,696
Lansforsakringar Hypotek AB 0.250% 4/12/23 EUR 500 543
Molnlycke Holding AB 1.500% 2/28/22 EUR 5,000 5,626
Molnlycke Holding AB 1.750% 2/28/24 EUR 200 224
Nordea Bank AB 0.875% 9/25/18 CHF 1,000 1,025
1 Nordea Bank AB 1.875% 11/10/25 EUR 5,000 5,668
Nordea Bank AB 2.125% 11/13/19 GBP 200 268
Nordea Bank AB 3.250% 7/5/22 EUR 5,400 6,744
Nordea Bank AB 4.000% 6/29/20 EUR 13,743 16,830

 

79


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Nordea Bank AB 4.000% 3/29/21 EUR 6,110 7,598
Nordea Bank AB 4.500% 3/26/20 EUR 2,000 2,454
Securitas AB 2.625% 2/22/21 EUR 3,000 3,524
1 Skandinaviska Enskilda Banken AB 1.375% 10/31/28 EUR 17,100 18,545
Skandinaviska Enskilda Banken AB 1.500% 12/15/21 SEK 365,000 42,796
Skandinaviska Enskilda Banken AB 1.875% 11/14/19 EUR 2,620 2,989
Skandinaviska Enskilda Banken AB 2.000% 3/18/19 EUR 500 566
Skandinaviska Enskilda Banken AB 2.000% 2/19/21 EUR 5,000 5,823
1 Skandinaviska Enskilda Banken AB 2.500% 5/28/26 EUR 14,600 16,827
Svenska Cellulosa AB SCA 2.500% 6/9/23 EUR 700 814
Svenska Handelsbanken AB 1.125% 12/14/22 EUR 14,000 15,800
Svenska Handelsbanken AB 2.250% 6/14/18 EUR 2,500 2,797
Svenska Handelsbanken AB 2.250% 8/27/20 EUR 5,000 5,830
1 Svenska Handelsbanken AB 2.656% 1/15/24 EUR 12,000 13,580
Svenska Handelsbanken AB 3.000% 11/20/20 GBP 300 418
Svenska Handelsbanken AB 4.000% 1/18/19 GBP 1,750 2,394
Svenska Handelsbanken AB 4.375% 10/20/21 EUR 1,280 1,647
Sveriges Sakerstallda Obligationer AB 0.250% 1/20/21 EUR 8,000 8,815
Swedbank AB 0.300% 9/6/22 EUR 7,000 7,581
Swedbank AB 1.500% 3/18/19 EUR 5,000 5,607
Swedbank Hypotek AB 1.000% 12/16/20 SEK 350,000 40,466
Telia Co. AB 3.500% 9/5/33 EUR 3,000 3,886
Telia Co. AB 3.875% 10/1/25 EUR 2,000 2,647
Telia Co. AB 4.000% 3/22/22 EUR 350 445
Telia Co. AB 4.750% 11/16/21 EUR 3,000 3,917
Volvo Treasury AB 2.375% 11/26/19 EUR 300 346
          263,645
Sovereign Bonds (0.4%)          
2 Kingdom of Sweden 0.050% 2/12/20 EUR 1,200 1,321
Kingdom of Sweden 0.750% 5/2/19 EUR 5,000 5,569
Kingdom of Sweden 0.750% 5/12/28 SEK 100,000 11,197
Kingdom of Sweden 1.000% 11/12/26 SEK 340,000 39,927
Kingdom of Sweden 1.500% 11/13/23 SEK 213,200 26,170
Kingdom of Sweden 2.250% 6/1/32 SEK 175,000 22,584
Kingdom of Sweden 2.500% 5/12/25 SEK 127,000 16,757
Kingdom of Sweden 3.500% 6/1/22 SEK 285,000 38,058
Kingdom of Sweden 3.500% 3/30/39 SEK 130,000 20,000
Kingdom of Sweden 4.250% 3/12/19 SEK 247,000 30,459
Kingdom of Sweden 5.000% 12/1/20 SEK 214,000 28,850
Kommuninvest I Sverige AB 1.000% 9/15/21 SEK 100,000 11,644
Kommuninvest I Sverige AB 2.250% 3/12/19 SEK 100,000 11,840
Kommuninvest I Sverige AB 2.500% 12/1/20 SEK 25,000 3,066
SBAB Bank AB 1.375% 5/2/18 EUR 3,600 3,978
SBAB Bank AB 2.375% 9/4/20 EUR 4,000 4,683
Stockholms Lans Landsting 0.750% 2/26/25 EUR 5,000 5,532
Svensk Exportkredit AB 1.125% 11/20/18 EUR 5,000 5,568
Svensk Exportkredit AB 1.875% 12/21/18 GBP 2,000 2,649
1 Vattenfall AB 3.000% 3/19/77 EUR 3,000 3,031
Vattenfall AB 6.125% 12/16/19 GBP 3,000 4,400
Vattenfall AB 6.250% 3/17/21 EUR 2,000 2,683
Vattenfall AB 6.750% 1/31/19 EUR 1,000 1,218
Vattenfall AB 6.875% 4/15/39 GBP 3,700 7,683
          308,867
Total Sweden (Cost $1,100,135)         1,043,884

 

80


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency  (000) ($000)
Switzerland (1.5%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.6%)        
Credit Suisse AG 1.000% 3/12/19 EUR 7,000 7,801
Credit Suisse AG 1.750% 1/15/21 EUR 32,000 37,072
Credit Suisse AG 2.875% 10/18/18 EUR 500 570
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.000% 7/6/20 CHF 20,000 20,326
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.000% 7/5/22 CHF 17,500 17,773
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.375% 10/15/25 CHF 5,000 5,132
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.375% 1/26/26 CHF 8,000 8,190
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.375% 7/8/39 CHF 8,300 7,970
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.500% 6/15/29 CHF 15,000 15,365
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.500% 10/5/35 CHF 5,000 4,980
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.625% 4/25/33 CHF 5,000 5,128
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.875% 8/13/19 CHF 20,000 20,734
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.875% 5/7/35 CHF 2,000 2,125
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.000% 8/13/21 CHF 29,000 30,792
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.000% 5/21/24 CHF 5,000 5,381
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.250% 9/29/23 CHF 3,000 3,265
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.375% 8/15/22 CHF 7,500 8,165
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.375% 2/14/24 CHF 8,000 8,811
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.375% 9/20/29 CHF 2,000 2,265
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.500% 8/2/33 CHF 17,500 20,497
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.625% 3/15/22 CHF 2,000 2,197
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.625% 7/3/30 CHF 2,000 2,328
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 1.875% 9/15/31 CHF 3,000 3,630
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.125% 6/28/23 CHF 46,000 52,557
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.250% 2/25/20 CHF 3,000 3,247
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.250% 8/13/32 CHF 3,000 3,836
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.375% 1/27/21 CHF 5,000 5,544
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.375% 1/25/24 CHF 3,500 4,089

 

81


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.500% 3/30/26 CHF 1,000 1,216
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.500% 2/16/27 CHF 2,000 2,463
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.750% 12/15/26 CHF 3,000 3,759
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 2.875% 2/14/22 CHF 3,000 3,469
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.000% 7/25/23 CHF 8,000 8,076
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.000% 6/14/24 CHF 25,000 25,114
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.050% 11/6/26 CHF 10,000 9,937
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.125% 3/12/24 CHF 5,000 5,071
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.125% 12/2/24 CHF 15,000 15,143
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.250% 2/11/28 CHF 985 990
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.375% 8/30/23 CHF 7,500 7,750
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.500% 7/28/25 CHF 5,000 5,195
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.500% 4/30/30 CHF 5,000 5,114
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.750% 4/15/24 CHF 1,000 1,058
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.750% 9/23/24 CHF 2,200 2,331
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.875% 12/3/18 CHF 800 823
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.875% 4/16/21 CHF 2,000 2,107
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 0.875% 6/20/22 CHF 18,000 19,108
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.000% 2/17/21 CHF 2,000 2,114
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.000% 9/9/22 CHF 8,500 9,094
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.000% 9/22/28 CHF 5,000 5,428
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.125% 4/28/23 CHF 6,675 7,207
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.250% 2/3/22 CHF 4,000 4,315
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.375% 3/19/27 CHF 8,000 8,978
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.375% 11/5/27 CHF 3,000 3,381
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.500% 9/3/20 CHF 4,000 4,270
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 1.500% 5/21/29 CHF 1,000 1,144

 

82


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 2.000% 10/30/25 CHF 3,000 3,498
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 2.250% 6/16/23 CHF 10,500 12,068
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 2.750% 10/2/18 CHF 3,000 3,161
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 3.250% 9/10/19 CHF 15,000 16,435
Pfandbriefzentrale der schweizerischen          
Kantonalbanken AG 3.500% 6/21/18 CHF 2,500 2,633
UBS AG 1.375% 4/16/21 EUR 5,000 5,728
          517,948
Corporate Bonds (0.4%)          
ABB Finance BV 2.625% 3/26/19 EUR 2,700 3,089
ABB Ltd. 2.250% 10/11/21 CHF 2,000 2,207
Adecco International Financial Services BV 1.000% 12/2/24 EUR 1,000 1,088
Adecco International Financial Services BV 2.750% 11/15/19 EUR 400 465
1 Aquarius and Investments plc for          
Zurich Insurance Co. Ltd. 4.250% 10/2/43 EUR 1,810 2,231
1 Cloverie plc for Swiss Reinsurance Co. Ltd. 6.625% 9/1/42 EUR 3,000 4,131
Cloverie plc for Zurich Insurance Co. Ltd. 1.750% 9/16/24 EUR 5,400 6,244
Coca-Cola HBC Finance BV 1.875% 11/11/24 EUR 200 231
Coca-Cola HBC Finance BV 2.375% 6/18/20 EUR 500 579
Credit Suisse AG 0.750% 7/11/19 CHF 5,000 5,116
Credit Suisse AG 1.000% 6/7/23 EUR 10,000 11,104
Credit Suisse AG 1.125% 9/15/20 EUR 5,800 6,510
Credit Suisse AG 1.375% 11/29/19 EUR 10,000 11,256
Credit Suisse AG 1.375% 1/31/22 EUR 3,000 3,411
Credit Suisse AG 1.500% 4/10/26 EUR 800 912
Credit Suisse AG 3.500% 4/29/20 AUD 9,000 6,826
Credit Suisse AG 4.750% 8/5/19 EUR 6,000 7,228
Credit Suisse Group Funding Guernsey Ltd. 1.250% 4/14/22 EUR 5,000 5,539
1 Demeter Investments BV for Swiss Life AG 4.375% 12/29/49 EUR 500 586
1 ELM BV for Swiss Life Insurance &          
Pension Group 4.500% 12/29/49 EUR 500 584
1 ELM BV for Swiss Reinsurance Co. Ltd. 2.600% 12/29/49 EUR 9,150 9,981
Flughafen Zuerich AG 1.500% 4/17/23 CHF 3,000 3,263
Glencore Canada Financial Corp. 7.375% 5/27/20 GBP 4,850 7,322
Glencore Finance Dubai Ltd. 2.625% 11/19/18 EUR 2,500 2,820
Glencore Finance Europe SA 1.250% 3/17/21 EUR 5,000 5,535
Glencore Finance Europe SA 1.625% 1/18/22 EUR 500 558
Glencore Finance Europe SA 1.750% 3/17/25 EUR 11,500 12,408
Glencore Finance Europe SA 2.625% 12/3/18 CHF 3,000 3,126
Glencore Finance Europe SA 6.000% 4/3/22 GBP 3,000 4,500
Glencore Finance Europe SA 6.500% 2/27/19 GBP 300 423
Holcim Finance Luxembourg SA 1.375% 5/26/23 EUR 500 559
Holcim Finance Luxembourg SA 3.000% 1/22/24 EUR 1,000 1,235
Holcim Overseas Finance Ltd. 3.375% 6/10/21 CHF 2,000 2,278
LafargeHolcim Ltd. 3.000% 11/22/22 CHF 3,000 3,424
LGT Bank AG 1.500% 5/10/21 CHF 1,000 1,068
Nestle Finance International Ltd. 1.750% 9/12/22 EUR 1,100 1,299
Nestle Finance International Ltd. 2.250% 11/30/23 GBP 900 1,250
Nestle Holdings Inc. 1.750% 12/9/20 GBP 10,000 13,484
Novartis AG 0.625% 11/13/29 CHF 2,750 2,833
Novartis Finance SA 1.625% 11/9/26 EUR 5,000 5,853

 

83


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Pfandbriefbank schweizerischer          
Hypothekarinstitute AG 0.500% 5/5/28 CHF 8,000 8,231
Roche Finance Europe BV 0.875% 2/25/25 EUR 500 556
Roche Finance Europe BV 2.000% 6/25/18 EUR 3,000 3,347
Roche Finance Europe BV 5.375% 8/29/23 GBP 1,000 1,620
Roche Holdings Inc. 6.500% 3/4/21 EUR 16,195 22,044
1 Swiss Reinsurance Co. via ELM BV 6.302% 3/29/49 GBP 5,300 7,403
Syngenta Finance NV 1.875% 11/2/21 EUR 5,800 6,699
UBS AG 0.500% 5/15/18 EUR 6,500 7,129
UBS AG 1.125% 6/30/20 EUR 5,000 5,626
UBS AG 1.250% 9/3/21 EUR 6,700 7,610
UBS Group Funding Jersey Ltd. 1.250% 9/1/26 EUR 38,000 40,571
UBS Group Funding Jersey Ltd. 1.500% 11/30/24 EUR 1,500 1,662
UBS Group Funding Jersey Ltd. 1.750% 11/16/22 EUR 1,000 1,147
UBS Group Funding Jersey Ltd. 2.125% 3/4/24 EUR 800 931
Willow No.2 Ireland plc for Zurich Insurance          
Co. Ltd. 3.375% 6/27/22 EUR 1,000 1,251
1 Zurich Insurance Co. Ltd. 4.625% 5/29/49 CHF 3,000 3,123
          281,506
Sovereign Bonds (0.5%)          
Canton of Basel-City 1.875% 5/31/19 CHF 3,300 3,486
Canton of Basel-City 3.250% 1/31/20 CHF 3,000 3,332
Canton of Geneva Switzerland 1.500% 3/5/32 CHF 1,600 1,856
Canton of Geneva Switzerland 1.625% 7/30/29 CHF 3,550 4,134
Canton of Geneva Switzerland 2.125% 6/15/20 CHF 5,000 5,424
Canton of Geneva Switzerland 2.250% 2/22/21 CHF 2,000 2,209
Canton of Zurich 0.500% 12/3/20 CHF 4,595 4,779
Canton of Zurich 1.250% 7/29/22 CHF 7,300 7,945
Lunar Funding V for Swisscom AG 1.875% 9/8/21 EUR 2,000 2,326
Swiss Confederation 0.000% 6/22/29 CHF 30,000 30,253
Swiss Confederation 0.500% 5/27/30 CHF 5,000 5,327
Swiss Confederation 0.500% 5/30/58 CHF 5,000 5,319
Swiss Confederation 1.250% 6/11/24 CHF 21,200 23,766
Swiss Confederation 1.250% 5/28/26 CHF 30,800 35,029
Swiss Confederation 1.250% 6/27/37 CHF 25,200 30,279
Swiss Confederation 1.500% 7/24/25 CHF 17,450 20,052
Swiss Confederation 1.500% 4/30/42 CHF 29,200 37,798
Swiss Confederation 2.000% 4/28/21 CHF 3,200 3,563
Swiss Confederation 2.000% 5/25/22 CHF 49,400 56,169
Swiss Confederation 2.000% 6/25/64 CHF 6,800 11,288
Swiss Confederation 2.250% 7/6/20 CHF 9,500 10,479
Swiss Confederation 2.250% 6/22/31 CHF 17,500 22,983
Swiss Confederation 2.500% 3/8/36 CHF 6,150 8,777
Swiss Confederation 3.000% 5/12/19 CHF 8,200 8,894
Swiss Confederation 3.250% 6/27/27 CHF 9,000 12,166
Swiss Confederation 3.500% 4/8/33 CHF 10,600 16,273
Swiss Confederation 4.000% 2/11/23 CHF 2,305 2,926
Swiss Confederation 4.000% 1/6/49 CHF 4,500 9,478
Swisscom AG 1.750% 7/10/24 CHF 2,000 2,241
Swisscom AG 2.625% 8/31/22 CHF 11,000 12,618
Swisscom AG 3.250% 9/14/18 CHF 15,000 15,821
          416,990
Total Switzerland (Cost $1,228,473)         1,216,444

 

84


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date  Currency (000) ($000)
Thailand (0.5%)          
Sovereign Bonds (0.5%)          
  Kingdom of Thailand 1.875% 6/17/22 THB 1,500,000 42,746
  Kingdom of Thailand 2.875% 6/17/46 THB 722,700 18,548
  Kingdom of Thailand 3.400% 6/17/36 THB 1,432,000 41,845
  Kingdom of Thailand 3.450% 3/8/19 THB 200,000 5,981
  Kingdom of Thailand 3.580% 12/17/27 THB 1,077,000 33,129
  Kingdom of Thailand 3.625% 6/16/23 THB 600,000 18,580
  Kingdom of Thailand 3.650% 12/17/21 THB 1,200,000 37,105
  Kingdom of Thailand 3.650% 6/20/31 THB 380,000 11,608
  Kingdom of Thailand 3.775% 6/25/32 THB 100,000 3,068
  Kingdom of Thailand 3.800% 6/14/41 THB 150,000 4,591
  Kingdom of Thailand 3.850% 12/12/25 THB 1,250,000 39,582
  Kingdom of Thailand 3.875% 6/13/19 THB 2,200,000 66,614
  Kingdom of Thailand 4.000% 6/17/66 THB 85,000 2,621
  Kingdom of Thailand 4.260% 12/12/37 THB 155,000 4,990
  Kingdom of Thailand 4.675% 6/29/44 THB 739,000 25,760
  Kingdom of Thailand 4.875% 6/22/29 THB 1,740,000 59,937
  Kingdom of Thailand 5.500% 3/13/23 THB 130,000 4,410
  Kingdom of Thailand 5.670% 3/13/28 THB 120,000 4,373
Total Thailand (Cost $434,213)         425,488
United Arab Emirates (0.0%)          
Sovereign Bonds (0.0%)          
  Emirates Telecommunications Group Co. PJSC 1.750% 6/18/21 EUR 2,000 2,283
  Emirates Telecommunications Group Co. PJSC 2.750% 6/18/26 EUR 3,000 3,622
  IPIC GMTN Ltd. 3.625% 5/30/23 EUR 3,000 3,800
  IPIC GMTN Ltd. 5.875% 3/14/21 EUR 3,000 3,931
  IPIC GMTN Ltd. 6.875% 3/14/26 GBP 640 1,128
Total United Arab Emirates (Cost $15,513)         14,764
United Kingdom (8.0%)          
Asset-Backed/Commercial Mortgage-Backed Securities (0.5%)        
  AA Bond Co. Ltd. 4.249% 7/31/20 GBP 1,800 2,493
  AA Bond Co. Ltd. 6.269% 7/31/25 GBP 2,000 3,202
  Annington Finance No 4 plc 0.000% 12/7/22 GBP 6,740 7,885
  Annington Finance No 4 plc 0.000% 1/10/23 GBP 1,000 1,144
  Annington Repackaging No 1 Ltd. 5.324% 1/10/23 GBP 1,400 2,098
  Arqiva Financing plc 4.882% 12/31/32 GBP 3,000 4,421
  Artesian Finance II plc 6.000% 9/30/33 GBP 1,990 3,699
  Aspire Defence Finance plc 4.674% 3/31/40 GBP 2,468 3,997
  Aspire Defence Finance plc 4.674% 3/31/40 GBP 949 1,537
  Bank of Scotland plc 4.500% 7/13/21 EUR 6,160 7,944
  Bank of Scotland plc 4.750% 6/8/22 EUR 1,840 2,461
  Bank of Scotland plc 4.875% 6/4/19 EUR 1,000 1,206
  Bank of Scotland plc 4.875% 12/20/24 GBP 1,000 1,614
  Barclays Bank plc 4.000% 10/7/19 EUR 1,600 1,920
  Barclays Bank plc 4.000% 1/12/21 EUR 15,500 19,373
  Barclays Bank plc 4.250% 1/12/22 GBP 1,000 1,494
1 Broadgate Financing plc 4.999% 10/5/33 GBP 4,000 6,427
1 Broadgate Financing plc 5.098% 4/5/35 GBP 5,194 8,076
1 Canary Wharf Finance II plc 6.455% 10/22/33 GBP 282 545
  Clydesdale Bank plc 4.625% 6/8/26 GBP 13,000 20,830
  Co-Operative Bank plc 4.750% 11/11/21 GBP 5,000 7,204
13 CTRL Section 1 Finance plc 5.234% 5/2/35 GBP 1,297 2,170

 

85


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Derby Healthcare plc 5.564% 6/30/41 GBP 1,182 2,011
Dignity Finance plc 3.546% 12/31/34 GBP 913 1,340
Dignity Finance plc 4.696% 12/31/49 GBP 1,656 2,680
Greene King Finance plc 5.318% 9/15/31 GBP 1,090 1,679
High Speed Rail Finance (1) plc 4.375% 11/1/38 GBP 1,000 1,658
Highbury Finance BV 7.017% 3/20/23 GBP 667 1,031
Integrated Accommodation Services plc 6.480% 3/31/29 GBP 673 1,117
1 Intu SGS Finance plc 4.625% 3/17/33 GBP 2,000 3,042
Juturna European Loan Conduit No 16 plc 5.064% 8/10/33 GBP 4,256 6,791
Leeds Building Society 4.250% 12/17/18 GBP 2,000 2,745
Leeds Building Society 4.875% 11/16/20 GBP 2,000 2,977
Lloyds Bank plc 1.375% 4/16/21 EUR 35,800 41,007
Lloyds Bank plc 4.000% 6/25/18 EUR 500 571
Lloyds Bank plc 4.875% 1/13/23 EUR 8,000 10,942
Lloyds Bank plc 4.875% 3/30/27 GBP 3,081 5,085
Lloyds Bank plc 5.125% 3/7/25 GBP 12,200 20,028
Lloyds Bank plc 6.000% 2/8/29 GBP 15,350 28,494
1 Longstone Finance plc 4.791% 4/19/36 GBP 863 1,307
1 Marston’s Issuer plc 5.158% 10/15/27 GBP 1,150 1,492
Mitchells & Butlers Finance plc 5.574% 12/15/30 GBP 437 663
1 Mitchells & Butlers Finance plc 6.469% 9/15/32 GBP 644 1,041
Nationwide Building Society 0.625% 3/25/27 EUR 9,990 10,559
Nationwide Building Society 0.750% 6/25/19 EUR 9,900 11,016
Nationwide Building Society 2.250% 6/25/29 EUR 5,000 6,135
Nationwide Building Society 4.375% 2/28/22 EUR 17,000 22,245
Nationwide Building Society 4.625% 2/8/21 EUR 3,100 3,960
Nationwide Building Society 5.625% 1/28/26 GBP 1,500 2,595
Nats En Route plc 5.250% 3/31/26 GBP 3,316 5,098
1 Octagon Healthcare Funding plc 5.333% 6/30/36 GBP 871 1,426
Royal Bank of Scotland plc 3.875% 10/19/20 EUR 22,000 27,176
Royal Bank of Scotland plc 5.125% 1/13/24 GBP 500 804
Santander UK plc 0.250% 8/9/21 EUR 10,000 10,956
Santander UK plc 1.250% 9/18/24 EUR 6,700 7,668
Santander UK plc 1.625% 11/26/20 EUR 18,000 20,737
Santander UK plc 5.125% 4/14/21 GBP 500 755
Santander UK plc 5.250% 2/16/29 GBP 758 1,335
1 Santander UK plc 5.750% 3/2/27 GBP 5,855 10,117
Sceptre Funding No. 1 plc 5.253% 2/9/27 GBP 106 168
Telereal Secured Finance plc 4.010% 12/10/31 GBP 418 581
1 Telereal Securitisation plc 5.389% 12/10/33 GBP 2,576 4,002
1 Telereal Securitisation plc 5.553% 12/10/33 GBP 933 1,469
Yorkshire Building Society 1.250% 6/11/21 EUR 7,000 7,969
          406,212
Corporate Bonds (2.1%)          
A2Dominion Housing Group Ltd. 3.500% 11/15/28 GBP 2,500 3,310
ABP Finance plc 6.250% 12/14/26 GBP 4,300 7,170
Admiral Group plc 5.500% 7/25/24 GBP 2,000 2,813
Affinity Sutton Capital Markets plc 4.250% 10/8/42 GBP 2,500 4,127
Affinity Sutton Capital Markets plc 5.981% 9/17/38 GBP 300 594
Affinity Water Programme Finance Ltd. 4.500% 3/31/36 GBP 4,500 7,543
Anglian Water Services Financing plc 5.837% 7/30/22 GBP 5,000 7,990
Anglian Water Services Financing plc 6.625% 1/15/29 GBP 615 1,174
AstraZeneca plc 5.750% 11/13/31 GBP 5,000 9,199
1 Aviva plc 3.375% 12/4/45 EUR 3,000 3,338
1 Aviva plc 3.875% 7/3/44 EUR 300 347

 

86


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
1 Aviva plc 5.125% 6/4/50 GBP 3,000 4,079
1 Aviva plc 5.902% 11/29/49 GBP 300 422
1 Aviva plc 6.125% 11/14/36 GBP 3,250 4,831
1 Aviva plc 6.125% 7/5/43 EUR 1,000 1,302
1 Aviva plc 6.125% 9/29/49 GBP 1,200 1,734
1 Aviva plc 6.625% 6/3/41 GBP 1,000 1,478
1 Aviva plc 6.875% 5/22/38 EUR 9,030 10,503
1 Aviva plc 6.875% 11/29/49 GBP 3,500 4,973
1 Aviva plc 6.875% 5/20/58 GBP 2,327 3,765
Babcock International Group plc 1.750% 10/6/22 EUR 7,800 8,815
Bank of Scotland plc 9.375% 5/15/21 GBP 1,620 2,704
Barclays Bank plc 2.125% 2/24/21 EUR 5,000 5,868
Barclays Bank plc 4.250% 3/2/22 EUR 10,000 13,030
Barclays Bank plc 6.000% 1/14/21 EUR 3,000 3,833
Barclays Bank plc 6.625% 3/30/22 EUR 7,159 9,731
Barclays Bank plc 10.000% 5/21/21 GBP 7,533 12,583
Barclays plc 1.500% 4/1/22 EUR 1,000 1,115
1 Barclays plc 2.625% 11/11/25 EUR 5,000 5,564
Barclays plc 3.250% 2/12/27 GBP 655 864
BAT International Finance plc 0.875% 10/13/23 EUR 15,615 16,879
BAT International Finance plc 1.000% 5/23/22 EUR 700 774
BAT International Finance plc 2.250% 9/9/52 GBP 3,000 3,224
BAT International Finance plc 2.750% 3/25/25 EUR 7,850 9,508
BAT International Finance plc 4.000% 9/4/26 GBP 1,500 2,209
BAT International Finance plc 6.000% 11/24/34 GBP 1,000 1,825
BAT International Finance plc 6.375% 12/12/19 GBP 2,611 3,851
BG Energy Capital plc 1.250% 11/21/22 EUR 6,200 7,034
BG Energy Capital plc 2.250% 11/21/29 EUR 3,618 4,340
BG Energy Capital plc 3.625% 7/16/19 EUR 3,550 4,174
BG Energy Capital plc 5.125% 12/1/25 GBP 5,000 8,147
BP Capital Markets plc 0.830% 9/19/24 EUR 7,500 8,107
BP Capital Markets plc 1.000% 8/28/20 CHF 2,000 2,082
BP Capital Markets plc 1.373% 3/3/22 EUR 2,500 2,845
BP Capital Markets plc 1.526% 9/26/22 EUR 11,000 12,597
BP Capital Markets plc 1.573% 2/16/27 EUR 4,000 4,478
BP Capital Markets plc 1.953% 3/3/25 EUR 6,500 7,573
BP Capital Markets plc 2.177% 9/28/21 EUR 5,700 6,716
BP Capital Markets plc 2.213% 9/25/26 EUR 5,100 6,041
BP Capital Markets plc 2.972% 2/27/26 EUR 4,000 5,015
BP Capital Markets plc 2.994% 2/18/19 EUR 12,400 14,243
BP Capital Markets plc 3.497% 11/9/20 CAD 12,000 9,320
BP Capital Markets plc 4.325% 12/10/18 GBP 700 959
BPHA Finance plc 4.816% 4/11/44 GBP 1,000 1,726
Brambles Finance Ltd. 2.375% 6/12/24 EUR 400 470
British Telecommunications plc 0.625% 3/10/21 EUR 10,800 11,838
British Telecommunications plc 1.125% 6/10/19 EUR 8,600 9,575
British Telecommunications plc 1.125% 3/10/23 EUR 800 885
British Telecommunications plc 1.750% 3/10/26 EUR 8,000 8,992
British Telecommunications plc 5.750% 12/7/28 GBP 4,990 8,584
British Telecommunications plc 6.375% 6/23/37 GBP 1,500 2,929
BUPA Finance plc 3.375% 6/17/21 GBP 6,300 8,803
Centrica plc 4.250% 9/12/44 GBP 5,250 8,244
Centrica plc 4.375% 3/13/29 GBP 4,800 7,437
1 Centrica plc 5.250% 4/10/75 GBP 5,000 6,902
Centrica plc 6.375% 3/10/22 GBP 4,400 7,041

 

87


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date Currency (000) ($000)
Centrica plc 7.000% 9/19/18 GBP 4,600 6,459
Centrica plc 7.000% 9/19/33 GBP 1,400 2,811
Circle Anglia Social Housing plc 7.250% 11/12/38 GBP 2,650 5,873
Coca-Cola European Partners plc 1.125% 5/26/24 EUR 5,000 5,549
Coca-Cola European Partners plc 1.750% 5/26/28 EUR 5,000 5,624
Community Finance Co. 1 plc 5.017% 7/31/34 GBP 400 708
Compass Group plc 3.125% 2/13/19 EUR 1,590 1,829
Coventry Building Society 2.500% 11/18/20 EUR 6,546 7,633
Coventry Building Society 5.875% 9/28/22 GBP 5,487 8,668
1 CPUK Finance Ltd. 7.239% 2/28/42 GBP 2,700 4,581
Crh Finance UK plc 4.125% 12/2/29 GBP 4,200 6,345
Delphi Automotive plc 1.500% 3/10/25 EUR 5,822 6,393
Delphi Automotive plc 1.600% 9/15/28 EUR 3,830 4,079
Diageo Finance plc 1.125% 5/20/19 EUR 500 557
DS Smith plc 2.250% 9/16/22 EUR 100 116
Dwr Cymru Financing Ltd. 6.015% 3/31/28 GBP 500 904
Dwr Cymru Financing Ltd. 6.907% 3/31/21 GBP 567 903
East Finance plc 5.486% 6/15/42 GBP 297 551
Eastern Power Networks plc 4.750% 9/30/21 GBP 1,000 1,491
Eastern Power Networks plc 5.750% 3/8/24 GBP 3,000 4,857
Eastern Power Networks plc 8.500% 3/31/25 GBP 1,000 1,918
easyJet plc 1.750% 2/9/23 EUR 800 903
EE Finance plc 4.375% 3/28/19 GBP 2,950 4,064
ELM BV for RELX Finance 2.500% 9/24/20 EUR 1,000 1,173
EMH Treasury plc 4.500% 1/29/44 GBP 394 647
ENW Finance plc 6.125% 7/21/21 GBP 1,000 1,558
Eversholt Funding plc 5.831% 12/2/20 GBP 800 1,199
Eversholt Funding plc 6.359% 12/2/25 GBP 500 853
Eversholt Funding plc 6.697% 2/22/35 GBP 1,800 3,217
Experian Finance plc 3.500% 10/15/21 GBP 3,815 5,424
Experian Finance plc 4.750% 11/23/18 GBP 1,800 2,473
Experian Finance plc 4.750% 2/4/20 EUR 4,000 4,911
FCE Bank plc 0.869% 9/13/21 EUR 1,000 1,094
FCE Bank plc 1.114% 5/13/20 EUR 16,199 18,042
FCE Bank plc 1.134% 2/10/22 EUR 1,330 1,465
FCE Bank plc 1.528% 11/9/20 EUR 3,100 3,496
FCE Bank plc 1.750% 5/21/18 EUR 1,385 1,537
FCE Bank plc 1.875% 4/18/19 EUR 10,000 11,272
FCE Bank plc 1.875% 6/24/21 EUR 5,000 5,706
FCE Bank plc 2.759% 11/13/19 GBP 2,100 2,820
Fidelity International Ltd. 7.125% 2/13/24 GBP 2,000 3,305
Firstgroup plc 5.250% 11/29/22 GBP 14,114 21,323
Firstgroup plc 6.875% 9/18/24 GBP 2,660 4,458
Firstgroup plc 8.750% 4/8/21 GBP 7,000 11,456
G4S International Finance plc 1.500% 1/9/23 EUR 600 662
G4S International Finance plc 2.625% 12/6/18 EUR 7,000 7,925
G4S plc 7.750% 5/13/19 GBP 4,977 7,250
Gatwick Funding Ltd. 2.625% 10/7/48 GBP 800 965
1 Gatwick Funding Ltd. 5.250% 1/23/26 GBP 1,000 1,562
1 Gatwick Funding Ltd. 5.750% 1/23/39 GBP 500 922
1 Gatwick Funding Ltd. 6.125% 3/2/28 GBP 5,050 8,546
GlaxoSmithKline Capital plc 0.625% 12/2/19 EUR 5,327 5,883
GlaxoSmithKline Capital plc 3.375% 12/20/27 GBP 3,000 4,382
GlaxoSmithKline Capital plc 4.000% 6/16/25 EUR 1,000 1,356
GlaxoSmithKline Capital plc 4.250% 12/18/45 GBP 400 672

 

88


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
GlaxoSmithKline Capital plc 5.250% 12/19/33 GBP 7,339 13,175
GlaxoSmithKline Capital plc 6.375% 3/9/39 GBP 845 1,750
Great Places Housing Group Ltd. 4.750% 10/22/42 GBP 500 838
Great Rolling Stock Co. Ltd. 6.250% 7/27/20 GBP 3,700 5,526
Great Rolling Stock Co. Ltd. 6.875% 7/27/35 GBP 842 1,456
Guinness Partnership Ltd. 4.000% 10/24/44 GBP 978 1,541
Gwynt Y Mor Ofto plc 2.778% 2/17/34 GBP 2,325 3,174
Hammerson plc 2.000% 7/1/22 EUR 7,100 8,157
Hammerson plc 6.000% 2/23/26 GBP 4,000 6,569
Hammerson plc 7.250% 4/21/28 GBP 10,700 19,851
1 HBOS plc 4.500% 3/18/30 EUR 3,000 3,743
1 Heathrow Funding Ltd. 1.500% 2/11/32 EUR 9,700 10,470
1 Heathrow Funding Ltd. 1.875% 5/23/24 EUR 200 232
Heathrow Funding Ltd. 4.625% 10/31/46 GBP 300 511
Heathrow Funding Ltd. 5.225% 2/15/23 GBP 2,200 3,386
Heathrow Funding Ltd. 5.875% 5/13/41 GBP 6,000 11,554
Heathrow Funding Ltd. 6.000% 3/20/20 GBP 8,000 11,723
Heathrow Funding Ltd. 6.250% 9/10/18 GBP 3,700 5,125
Heathrow Funding Ltd. 6.450% 12/10/31 GBP 2,500 4,737
Heathrow Funding Ltd. 7.125% 2/14/24 GBP 3,320 5,578
1 Hiscox Ltd. 6.125% 11/24/45 GBP 1,000 1,415
1 HSBC Bank Capital Funding Sterling 1 LP 5.844% 11/29/49 GBP 250 383
1 HSBC Bank Capital Funding Sterling 2 LP 5.862% 4/29/49 GBP 1,000 1,404
HSBC Bank plc 3.875% 10/24/18 EUR 9,500 10,960
HSBC Bank plc 4.000% 1/15/21 EUR 9,500 11,831
1 HSBC Bank plc 5.375% 11/4/30 GBP 1,000 1,556
HSBC Bank plc 5.375% 8/22/33 GBP 2,000 3,295
HSBC Bank plc 6.250% 1/30/41 GBP 66 124
HSBC Bank plc 6.500% 7/7/23 GBP 5,000 8,058
HSBC Holdings plc 1.500% 3/15/22 EUR 20,600 23,322
HSBC Holdings plc 2.625% 8/16/28 GBP 16,675 21,448
HSBC Holdings plc 3.000% 6/30/25 EUR 26,000 31,079
1 HSBC Holdings plc 3.375% 1/10/24 EUR 7,915 9,048
HSBC Holdings plc 6.000% 6/10/19 EUR 2,000 2,443
HSBC Holdings plc 6.000% 3/29/40 GBP 2,250 3,681
HSBC Holdings plc 6.750% 9/11/28 GBP 2,750 4,581
HSBC Holdings plc 7.000% 4/7/38 GBP 500 902
Hyde Housing Association Ltd. 5.125% 7/23/40 GBP 275 481
ICAP Group Holdings plc 3.125% 3/6/19 EUR 1,000 1,144
Imperial Brands Finance plc 3.375% 2/26/26 EUR 400 504
Imperial Brands Finance plc 4.500% 7/5/18 EUR 2,000 2,292
Imperial Brands Finance plc 4.875% 6/7/32 GBP 7,050 11,214
Imperial Brands Finance plc 5.000% 12/2/19 EUR 3,000 3,675
Imperial Brands Finance plc 7.750% 6/24/19 GBP 5,600 8,276
Imperial Brands Finance plc 9.000% 2/17/22 GBP 7,500 13,019
InterContinental Hotels Group plc 3.875% 11/28/22 GBP 2,500 3,565
Intu Metrocentre Finance plc 4.125% 12/6/23 GBP 2,000 2,901
1 Intu SGS Finance plc 3.875% 3/17/28 GBP 1,100 1,559
Investec plc 4.500% 5/5/22 GBP 1,300 1,783
ITV plc 2.125% 9/21/22 EUR 100 113
1 Land Securities Capital Markets plc 5.125% 2/7/36 GBP 500 883
1 Land Securities Capital Markets plc 5.396% 7/31/32 GBP 3,400 6,008
Leeds Building Society 1.375% 5/5/22 EUR 5,000 5,479
Leeds Building Society 2.625% 4/1/21 EUR 12,000 13,857
1 Legal & General Group plc 5.375% 10/27/45 GBP 400 567

 

89


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
1 Legal & General Group plc 5.500% 6/27/64 GBP 2,100 2,888
1 Legal & General Group plc 5.875% 3/29/49 GBP 400 551
1 Legal & General Group plc 10.000% 7/23/41 GBP 2,000 3,414
Libra Longhurst Group Treasury plc 5.125% 8/2/38 GBP 1,797 3,059
1 Liverpool Victoria Friendly Society Ltd. 6.500% 5/22/43 GBP 600 813
Lloyds Bank plc 0.625% 4/20/20 EUR 5,000 5,521
Lloyds Bank plc 0.625% 9/14/22 EUR 8,780 9,738
Lloyds Bank plc 2.500% 6/1/22 GBP 100 137
1 Lloyds Bank plc 5.750% 7/9/25 GBP 1,000 1,430
Lloyds Bank plc 6.500% 3/24/20 EUR 2,000 2,553
Lloyds Bank plc 6.500% 9/17/40 GBP 1,450 3,024
Lloyds Bank plc 7.500% 4/15/24 GBP 1,000 1,776
Lloyds Bank plc 7.625% 4/22/25 GBP 7,290 12,617
Lloyds Banking Group plc 1.000% 11/9/23 EUR 100 108
London & Quadrant Housing Trust 2.625% 5/5/26 GBP 4,000 5,484
London & Quadrant Housing Trust 4.625% 12/5/33 GBP 500 835
London & Quadrant Housing Trust 5.500% 1/27/40 GBP 400 756
London Power Networks plc 5.125% 3/31/23 GBP 3,000 4,644
Manchester Airport Group Funding plc 4.750% 3/31/34 GBP 2,000 3,311
Marks & Spencer plc 3.000% 12/8/23 GBP 700 925
Marks & Spencer plc 4.750% 6/12/25 GBP 4,610 6,735
Mondi Finance plc 1.500% 4/15/24 EUR 100 111
Motability Operations Group plc 0.875% 3/14/25 EUR 6,500 7,060
Motability Operations Group plc 1.625% 6/9/23 EUR 500 576
Motability Operations Group plc 4.375% 2/8/27 GBP 7,100 11,149
Motability Operations Group plc 5.625% 11/29/30 GBP 2,000 3,613
Motability Operations Group plc 6.625% 12/10/19 GBP 2,449 3,663
National Grid Electricity Transmission plc 6.500% 7/27/28 GBP 4,694 8,629
National Grid Gas Finance plc 0.625% 9/22/24 EUR 10,000 10,650
National Grid Gas Finance plc 2.125% 9/22/28 GBP 10,508 13,363
National Grid plc 4.375% 3/10/20 EUR 1,000 1,219
Nationwide Building Society 0.750% 10/26/22 EUR 6,000 6,700
Nationwide Building Society 1.125% 6/3/22 EUR 14,900 16,715
Nationwide Building Society 1.250% 3/3/25 EUR 3,000 3,344
Nationwide Building Society 2.250% 4/29/22 GBP 5,675 7,697
Nationwide Building Society 3.000% 5/6/26 GBP 19,750 27,356
Nationwide Building Society 5.625% 9/9/19 GBP 400 575
Nationwide Building Society 6.750% 7/22/20 EUR 5,500 7,164
Next plc 3.625% 5/18/28 GBP 7,000 9,356
Next plc 5.375% 10/26/21 GBP 3,000 4,489
1 NGG Finance plc 4.250% 6/18/76 EUR 1,500 1,764
1 NGG Finance plc 5.625% 6/18/73 GBP 500 719
Northern Gas Networks Finance plc 4.875% 6/30/27 GBP 300 487
Northern Gas Networks Finance plc 4.875% 11/15/35 GBP 900 1,557
Northern Gas Networks Finance plc 5.625% 3/23/40 GBP 2,423 4,657
Northern Gas Networks Finance plc 5.875% 7/8/19 GBP 750 1,078
Northern Powergrid Holdings Co. 7.250% 12/15/22 GBP 1,060 1,775
Northern Powergrid Yorkshire plc 5.125% 5/4/35 GBP 1,733 3,059
Northumbrian Water Finance plc 5.125% 1/23/42 GBP 350 644
Notting Hill Housing Trust 3.750% 12/20/32 GBP 2,200 3,258
Orbit Capital plc 3.500% 3/24/45 GBP 1,967 2,778
Peabody Capital No 2 plc 4.625% 12/12/53 GBP 150 274
Peabody Capital plc 5.250% 3/17/43 GBP 1,000 1,851
Places For People Treasury plc 2.875% 8/17/26 GBP 9,500 12,031
Porterbrook Rail Finance Ltd. 6.500% 10/20/20 GBP 1,000 1,521

 

90


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Porterbrook Rail Finance Ltd. 7.125% 10/20/26 GBP 3,000 5,437
Prudential plc 1.750% 11/27/18 GBP 200 263
1 Prudential plc 5.700% 12/19/63 GBP 1,000 1,427
Prudential plc 5.875% 5/11/29 GBP 1,111 1,952
Prudential plc 6.125% 12/19/31 GBP 9,000 14,861
1 Prudential plc 11.375% 5/29/39 GBP 200 311
RAC Bond Co. plc 4.870% 5/6/26 GBP 3,000 4,324
RELX Capital Inc. 1.300% 5/12/25 EUR 2,000 2,224
Rentokil Initial plc 3.375% 9/24/19 EUR 6,000 7,040
1 RL Finance Bonds No. 2 plc 6.125% 11/30/43 GBP 1,100 1,563
RL Finance Bonds No. 3 plc 6.125% 11/13/28 GBP 500 710
Rolls-Royce plc 2.125% 6/18/21 EUR 1,500 1,747
Rolls-Royce plc 3.375% 6/18/26 GBP 2,000 2,845
Rolls-Royce plc 6.750% 4/30/19 GBP 5,950 8,613
Royal Bank of Scotland Group plc 1.625% 6/25/19 EUR 3,700 4,133
Royal Bank of Scotland plc 5.375% 9/30/19 EUR 3,000 3,669
Royal Bank of Scotland plc 5.500% 3/23/20 EUR 2,000 2,502
Royal Bank of Scotland plc 6.625% 9/17/18 GBP 800 1,115
1 RSA Insurance Group plc 5.125% 10/10/45 GBP 2,000 2,854
RSL Finance No 1 plc 6.625% 3/31/38 GBP 636 1,187
Sanctuary Capital plc 5.000% 4/26/47 GBP 4,112 7,665
Santander UK Group Holdings plc 1.125% 9/8/23 EUR 1,105 1,199
Santander UK Group Holdings plc 3.625% 1/14/26 GBP 375 514
Santander UK plc 1.125% 1/14/22 EUR 11,000 12,288
Santander UK plc 1.125% 3/10/25 EUR 11,100 12,169
Santander UK plc 1.875% 2/17/20 GBP 2,000 2,648
Santander UK plc 2.000% 1/14/19 EUR 2,000 2,252
Santander UK plc 2.625% 7/16/20 EUR 5,000 5,854
Santander UK plc 3.875% 10/15/29 GBP 2,200 3,287
Saxon Weald Capital plc 5.375% 6/6/42 GBP 296 521
Scotland Gas Networks plc 3.250% 3/8/27 GBP 5,000 7,085
Scotland Gas Networks plc 4.875% 12/21/34 GBP 1,000 1,703
Scottish Widows Ltd. 5.500% 6/16/23 GBP 2,500 3,605
Scottish Widows Ltd. 7.000% 6/16/43 GBP 2,000 3,158
Segro plc 6.750% 11/23/21 GBP 10,000 16,084
Severn Trent Utilities Finance plc 3.625% 1/16/26 GBP 2,500 3,647
Severn Trent Utilities Finance plc 4.875% 1/24/42 GBP 2,240 3,983
Sky plc 1.500% 9/15/21 EUR 1,737 1,967
Sky plc 1.875% 11/24/23 EUR 5,000 5,727
Sky plc 2.250% 11/17/25 EUR 500 580
Sky plc 2.500% 9/15/26 EUR 21,500 25,245
Sky plc 2.875% 11/24/20 GBP 6,150 8,453
Sky plc 4.000% 11/26/29 GBP 4,800 7,134
Smiths Group plc 1.250% 4/28/23 EUR 10,000 11,016
Society of Lloyd’s 4.750% 10/30/24 GBP 1,500 2,171
South East Water Finance Ltd. 5.658% 9/30/19 GBP 400 573
South Eastern Power Networks plc 5.625% 9/30/30 GBP 2,350 4,149
South Eastern Power Networks plc 6.375% 11/12/31 GBP 2,000 3,826
Southern Electric Power Distribution plc 5.500% 6/7/32 GBP 206 365
Southern Gas Networks plc 4.875% 12/21/20 GBP 1,300 1,916
Southern Gas Networks plc 6.375% 5/15/40 GBP 70 146
1 Southern Water Services Finance Ltd. 4.500% 3/31/38 GBP 1,000 1,433
Southern Water Services Finance Ltd. 5.000% 3/31/21 GBP 4,000 5,951
Southern Water Services Finance Ltd. 6.192% 3/31/29 GBP 3,000 5,539
Sovereign Housing Capital plc 4.768% 6/1/43 GBP 289 506

 

91


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
SPD Finance UK plc 5.875% 7/17/26 GBP 1,000 1,690
SSE plc 2.000% 6/17/20 EUR 7,200 8,303
1 SSE plc 3.875% 12/29/49 GBP 700 922
SSE plc 5.000% 10/1/18 GBP 1,000 1,371
SSE plc 6.250% 8/27/38 GBP 2,000 3,957
SSE plc 8.375% 11/20/28 GBP 1,150 2,393
Stagecoach Group plc 4.000% 9/29/25 GBP 300 425
1 Standard Chartered Bank 5.375% 6/29/49 GBP 1,000 1,335
Standard Chartered plc 1.625% 6/13/21 EUR 5,800 6,576
Standard Chartered plc 3.125% 11/19/24 EUR 500 587
Standard Chartered plc 3.625% 11/23/22 EUR 1,700 2,038
1 Standard Chartered plc 4.000% 10/21/25 EUR 4,000 4,664
Standard Chartered plc 4.375% 1/18/38 GBP 1,080 1,582
Standard Chartered plc 5.125% 6/6/34 GBP 4,700 6,239
1 Standard Life plc 5.500% 12/4/42 GBP 3,500 4,996
1 Standard Life plc 6.546% 11/29/49 GBP 2,000 2,833
Swan Housing Capital plc 3.625% 3/5/48 GBP 2,114 3,000
Thames Water Utilities Cayman Finance Ltd. 2.625% 1/24/32 GBP 3,000 3,951
Thames Water Utilities Cayman Finance Ltd. 4.000% 6/19/25 GBP 3,000 4,534
Thames Water Utilities Cayman Finance Ltd. 4.375% 7/3/34 GBP 1,795 2,888
Thames Water Utilities Cayman Finance Ltd. 4.625% 6/4/46 GBP 4,945 8,769
Thames Water Utilities Cayman Finance Ltd. 5.500% 2/11/41 GBP 2,175 4,143
THFC Funding No. 3 plc 5.200% 10/11/43 GBP 4,900 8,946
Together Housing Finance plc 4.500% 12/17/42 GBP 430 700
Unilever NV 0.500% 2/3/22 EUR 200 220
Unilever NV 1.000% 2/14/27 EUR 800 866
Unilever NV 1.750% 8/5/20 EUR 2,200 2,527
1 UNITE USAF II plc 3.374% 6/30/28 GBP 1,000 1,413
United Utilities Water Ltd. 4.250% 1/24/20 EUR 3,000 3,631
United Utilities Water Ltd. 5.625% 12/20/27 GBP 6,210 10,779
United Utilities Water Ltd. 5.750% 3/25/22 GBP 2,250 3,539
University of Cambridge 3.750% 10/17/52 GBP 700 1,278
Vodafone Group plc 0.875% 11/17/20 EUR 10,800 11,999
Vodafone Group plc 1.250% 8/25/21 EUR 9,000 10,129
Vodafone Group plc 1.600% 7/29/31 EUR 1,300 1,345
Vodafone Group plc 1.750% 8/25/23 EUR 13,200 15,055
Vodafone Group plc 1.875% 9/11/25 EUR 4,400 5,038
Vodafone Group plc 3.000% 8/12/56 GBP 5,000 5,446
Vodafone Group plc 5.625% 12/4/25 GBP 3,400 5,486
Vodafone Group plc 5.900% 11/26/32 GBP 1,000 1,693
Vodafone Group plc 8.125% 11/26/18 GBP 2,900 4,181
Wales & West Utilities Finance plc 5.750% 3/29/30 GBP 5,000 8,953
Wales & West Utilities Finance plc 6.250% 11/30/21 GBP 1,000 1,589
Wellcome Trust Finance plc 4.000% 5/9/59 GBP 2,000 3,985
Western Power Distribution East Midlands plc 5.250% 1/17/23 GBP 2,500 3,861
Western Power Distribution South Wales plc 5.750% 3/23/40 GBP 850 1,635
Western Power Distribution South West plc 5.750% 3/23/40 GBP 200 385
Western Power Distribution West Midlands plc 3.875% 10/17/24 GBP 3,000 4,425
Western Power Distribution West Midlands plc 5.750% 4/16/32 GBP 5,000 9,013
WHG Treasury plc 4.250% 10/6/45 GBP 4,000 6,368
WM Morrison Supermarkets plc 2.250% 6/19/20 EUR 600 695
Wm Morrison Supermarkets plc 3.500% 7/27/26 GBP 5,000 6,904
Wm Morrison Supermarkets plc 4.750% 7/4/29 GBP 5,150 7,813
WM Treasury plc 4.625% 12/3/42 GBP 2,000 3,304
WPP Finance 2013 2.875% 9/14/46 GBP 500 580

 

92


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date  Currency (000) ($000)
  WPP Finance 2013 3.000% 11/20/23 EUR 9,000 11,157
  WPP Finance SA 2.250% 9/22/26 EUR 200 236
  WPP Finance SA 6.375% 11/6/20 GBP 3,200 4,908
  Yorkshire Building Society 1.250% 3/17/22 EUR 21,403 23,536
  Yorkshire Building Society 2.125% 3/18/19 EUR 19,013 21,487
  Yorkshire Water Services Bradford Finance Ltd. 3.625% 8/1/29 GBP 500 755
1 Yorkshire Water Services Bradford Finance Ltd. 3.750% 3/22/46 GBP 1,000 1,398
  Yorkshire Water Services Bradford Finance Ltd. 6.000% 8/21/19 GBP 3,105 4,491
            1,725,764
Sovereign Bonds (5.4%)          
13 Affordable Housing Finance plc 2.893% 8/11/45 GBP 2,673 4,030
13 LCR Finance plc 4.500% 12/7/28 GBP 10,500 17,662
13 LCR Finance plc 4.500% 12/7/38 GBP 1,100 2,034
13 LCR Finance plc 5.100% 3/7/51 GBP 1,200 2,713
13 Merseylink Issuer plc 3.842% 3/31/43 GBP 300 506
13 Network Rail Infrastructure Finance plc 2.750% 10/6/21 CHF 2,500 2,876
13 Network Rail Infrastructure Finance plc 4.375% 12/9/30 GBP 3,200 5,496
13 Network Rail Infrastructure Finance plc 4.625% 7/21/20 GBP 200 294
13 Network Rail Infrastructure Finance plc 4.750% 1/22/24 GBP 5,000 8,050
13 Network Rail Infrastructure Finance plc 4.750% 11/29/35 GBP 4,200 7,836
  Transport for London 2.250% 8/9/22 GBP 900 1,239
  Transport for London 3.625% 5/15/45 GBP 4,900 7,944
  Transport for London 3.875% 7/23/42 GBP 2,400 3,992
  Transport for London 4.000% 4/7/64 GBP 1,200 2,373
  United Kingdom 0.500% 7/22/22 GBP 164,785 213,428
  United Kingdom 1.250% 7/22/18 GBP 110,000 144,555
  United Kingdom 1.500% 1/22/21 GBP 115,000 155,764
  United Kingdom 1.500% 7/22/26 GBP 88,000 118,747
  United Kingdom 1.500% 7/22/47 GBP 26,000 32,015
  United Kingdom 1.750% 7/22/19 GBP 166,400 223,458
  United Kingdom 1.750% 9/7/22 GBP 40,200 55,564
  United Kingdom 1.750% 7/22/57 GBP 34,000 45,919
  United Kingdom 2.000% 7/22/20 GBP 188,000 257,648
  United Kingdom 2.000% 9/7/25 GBP 34,000 47,968
  United Kingdom 2.250% 9/7/23 GBP 69,500 99,147
  United Kingdom 2.500% 7/22/65 GBP 66,000 112,275
  United Kingdom 2.750% 9/7/24 GBP 114,950 170,066
  United Kingdom 3.250% 1/22/44 GBP 232,900 396,214
  United Kingdom 3.500% 1/22/45 GBP 79,750 142,488
  United Kingdom 3.500% 7/22/68 GBP 67,000 145,657
  United Kingdom 3.750% 9/7/19 GBP 12,000 16,891
  United Kingdom 3.750% 9/7/20 GBP 28,500 41,362
  United Kingdom 3.750% 9/7/21 GBP 68,100 101,411
  United Kingdom 3.750% 7/22/52 GBP 91,100 184,073
  United Kingdom 4.000% 3/7/22 GBP 42,800 65,191
  United Kingdom 4.000% 1/22/60 GBP 14,200 32,247
  United Kingdom 4.250% 6/7/32 GBP 65,500 116,664
  United Kingdom 4.250% 3/7/36 GBP 136,000 250,322
  United Kingdom 4.250% 9/7/39 GBP 59,596 113,188
  United Kingdom 4.250% 12/7/40 GBP 60,300 115,969
  United Kingdom 4.250% 12/7/46 GBP 58,700 120,049
  United Kingdom 4.250% 12/7/49 GBP 31,600 67,052
  United Kingdom 4.250% 12/7/55 GBP 74,100 168,884
  United Kingdom 4.500% 3/7/19 GBP 40,800 57,179
  United Kingdom 4.500% 9/7/34 GBP 93,700 174,909

 

93


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
United Kingdom 4.500% 12/7/42 GBP 33,600 68,269
United Kingdom 4.750% 3/7/20 GBP 65,000 95,286
United Kingdom 4.750% 12/7/30 GBP 61,800 113,922
United Kingdom 4.750% 12/7/38 GBP 6,708 13,477
United Kingdom 5.000% 3/7/25 GBP 21,500 36,773
Urenco Finance NV 2.500% 2/15/21 EUR 3,000 3,519
United Kingdom 8.000% 6/7/21 GBP 11,000 18,770
Urenco Finance NV 2.375% 12/2/24 EUR 4,000 4,712
          4,408,077
Total United Kingdom (Cost $6,689,254)         6,540,053
United States (2.6%)          
Corporate Bonds (2.6%)          
3M Co. 0.375% 2/15/22 EUR 17,000 18,633
3M Co. 0.950% 5/15/23 EUR 2,000 2,246
3M Co. 1.500% 11/9/26 EUR 200 231
3M Co. 1.750% 5/15/30 EUR 1,517 1,770
3M Co. 1.875% 11/15/21 EUR 400 469
AbbVie Inc. 0.375% 11/18/19 EUR 3,800 4,164
AbbVie Inc. 1.375% 5/17/24 EUR 3,300 3,657
AbbVie Inc. 2.125% 11/17/28 EUR 6,800 7,669
Air Products & Chemicals Inc. 1.000% 2/12/25 EUR 3,337 3,671
Albemarle Corp. 1.875% 12/8/21 EUR 100 114
American Express Credit Corp. 0.625% 11/22/21 EUR 16,702 18,347
American Tower Corp. 1.375% 4/4/25 EUR 7,100 7,756
Amgen Inc. 1.250% 2/25/22 EUR 18,230 20,510
Amgen Inc. 2.000% 2/25/26 EUR 2,500 2,918
Amgen Inc. 2.125% 9/13/19 EUR 2,000 2,283
Amgen Inc. 4.000% 9/13/29 GBP 4,500 6,662
Amgen Inc. 4.375% 12/5/18 EUR 1,000 1,165
Amgen Inc. 5.500% 12/7/26 GBP 4,400 7,221
Aon plc 2.875% 5/14/26 EUR 3,400 4,112
Apple Inc. 0.350% 6/10/20 JPY 1,350,000 12,275
Apple Inc. 0.750% 2/25/30 CHF 5,500 5,693
Apple Inc. 1.000% 11/10/22 EUR 12,000 13,544
Apple Inc. 1.375% 1/17/24 EUR 10,000 11,466
Apple Inc. 1.625% 11/10/26 EUR 4,039 4,676
Apple Inc. 2.000% 9/17/27 EUR 7,080 8,422
Apple Inc. 3.050% 7/31/29 GBP 7,100 10,160
Apple Inc. 3.600% 6/10/26 AUD 1,190 903
Apple Inc. 3.600% 7/31/42 GBP 3,000 4,534
Apple Inc. 3.700% 8/28/22 AUD 4,250 3,300
Archer-Daniels-Midland Co. 1.750% 6/23/23 EUR 10,000 11,602
AT&T Inc. 1.375% 12/4/24 CHF 500 533
AT&T Inc. 1.450% 6/1/22 EUR 7,714 8,709
AT&T Inc. 1.875% 12/4/20 EUR 400 460
AT&T Inc. 2.400% 3/15/24 EUR 9,000 10,620
AT&T Inc. 2.500% 3/15/23 EUR 2,000 2,367
AT&T Inc. 2.600% 12/17/29 EUR 3,775 4,350
AT&T Inc. 2.750% 5/19/23 EUR 6,848 8,193
AT&T Inc. 3.375% 3/15/34 EUR 2,500 3,003
AT&T Inc. 3.500% 12/17/25 EUR 2,000 2,546
AT&T Inc. 3.550% 12/17/32 EUR 10,962 13,583
AT&T Inc. 3.825% 11/25/20 CAD 1,750 1,359
AT&T Inc. 4.250% 6/1/43 GBP 4,467 6,206

 

94


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
AT&T Inc. 4.375% 9/14/29 GBP 2,488 3,648
AT&T Inc. 4.875% 6/1/44 GBP 2,350 3,568
AT&T Inc. 5.200% 11/18/33 GBP 4,000 6,294
AT&T Inc. 5.500% 3/15/27 GBP 3,000 4,781
AT&T Inc. 7.000% 4/30/40 GBP 5,150 9,916
Bank of America Corp. 0.750% 7/26/23 EUR 15,000 16,058
Bank of America Corp. 1.375% 3/26/25 EUR 3,000 3,296
Bank of America Corp. 1.625% 9/14/22 EUR 5,000 5,674
Bank of America Corp. 2.375% 6/19/24 EUR 5,000 5,889
Bank of America Corp. 2.500% 7/27/20 EUR 10,500 12,243
1 Bank of America Corp. 2.604% 3/15/23 CAD 4,850 3,602
Bank of America Corp. 4.250% 3/5/20 AUD 10,540 8,167
Bank of America Corp. 4.250% 12/10/26 GBP 2,900 4,347
Bank of America Corp. 4.625% 9/14/18 EUR 2,000 2,315
Bank of America Corp. 5.500% 12/4/19 GBP 450 649
Bank of America Corp. 5.500% 11/22/21 GBP 1,800 2,707
Bank of America Corp. 6.125% 9/15/21 GBP 3,600 5,581
Bank of America Corp. 7.000% 7/31/28 GBP 5,500 10,154
Becton Dickinson & Co. 1.900% 12/15/26 EUR 11,714 12,641
Becton Dickinson and Co. 1.000% 12/15/22 EUR 7,630 8,236
Berkshire Hathaway Inc. 0.500% 3/13/20 EUR 8,000 8,824
Berkshire Hathaway Inc. 0.750% 3/16/23 EUR 1,000 1,099
Berkshire Hathaway Inc. 1.125% 3/16/27 EUR 7,832 8,415
Berkshire Hathaway Inc. 1.300% 3/15/24 EUR 4,400 4,943
Berkshire Hathaway Inc. 1.625% 3/16/35 EUR 9,000 9,338
Berkshire Hathaway Inc. 2.150% 3/15/28 EUR 10,000 11,714
BlackRock Inc. 1.250% 5/6/25 EUR 1,250 1,388
2 Blackstone Holdings Finance Co. LLC 1.000% 10/5/26 EUR 8,334 8,626
Blackstone Holdings Finance Co. LLC 1.000% 10/5/26 EUR 789 817
Blackstone Holdings Finance Co. LLC 2.000% 5/19/25 EUR 100 115
2 Blackstone Holdings Finance Co. LLC 2.000% 5/19/25 EUR 2,000 2,291
Bristol-Myers Squibb Co. 1.000% 5/15/25 EUR 1,625 1,789
Bristol-Myers Squibb Co. 1.750% 5/15/35 EUR 4,000 4,328
Brown-Forman Corp. 1.200% 7/7/26 EUR 2,160 2,372
Brown-Forman Corp. 2.600% 7/7/28 GBP 8,620 11,621
Bunge Finance Europe BV 1.850% 6/16/23 EUR 16,370 18,533
Cargill Inc. 1.875% 9/4/19 EUR 1,100 1,250
Cargill Inc. 2.500% 2/15/23 EUR 10,000 12,097
Carnival Corp. 1.125% 11/6/19 EUR 5,000 5,585
Carnival Corp. 1.625% 2/22/21 EUR 8,400 9,560
Carnival Corp. 1.875% 11/7/22 EUR 5,550 6,404
Caterpillar Financial Australia Ltd. 4.750% 5/31/17 AUD 720 540
Caterpillar International Finance Designated          
Activity Co. 0.750% 10/13/20 EUR 200 222
Citigroup Inc. 0.750% 10/26/23 EUR 500 536
Citigroup Inc. 1.375% 10/27/21 EUR 10,000 11,321
Citigroup Inc. 1.500% 10/26/28 EUR 1,000 1,054
Citigroup Inc. 1.750% 1/28/25 EUR 600 678
Citigroup Inc. 2.125% 9/10/26 EUR 5,400 6,224
Citigroup Inc. 2.375% 5/22/24 EUR 5,000 5,922
Citigroup Inc. 2.400% 10/31/25 JPY 500,000 5,062
Citigroup Inc. 3.000% 3/21/19 CHF 1,000 1,067
Citigroup Inc. 3.390% 11/18/21 CAD 4,970 3,846
Citigroup Inc. 4.500% 3/3/31 GBP 1,000 1,492
Citigroup Inc. 5.000% 8/2/19 EUR 13,200 15,977

 

95


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Citigroup Inc. 5.125% 12/12/18 GBP 7,080 9,755
Citigroup Inc. 7.375% 9/4/19 EUR 1,000 1,275
Citigroup Inc. 7.375% 9/1/39 GBP 400 883
Coca-Cola Co. 0.000% 3/9/21 EUR 3,750 4,059
Coca-Cola Co. 0.500% 3/8/24 EUR 5,400 5,821
Coca-Cola Co. 0.750% 3/9/23 EUR 5,500 6,084
Coca-Cola Co. 1.100% 9/2/36 EUR 1,600 1,586
Coca-Cola Co. 1.125% 9/22/22 EUR 1,000 1,132
Coca-Cola Co. 1.125% 3/9/27 EUR 3,000 3,292
Coca-Cola Co. 1.625% 3/9/35 EUR 5,400 5,936
Coca-Cola Co. 1.875% 9/22/26 EUR 2,459 2,892
Coca-Cola Co. 2.600% 6/9/20 AUD 1,000 753
Coca-Cola Co. 3.250% 6/11/24 AUD 400 302
Coca-Cola Enterprises Inc. 2.000% 12/5/19 EUR 1,000 1,139
Coca-Cola Enterprises Inc. 2.375% 5/7/25 EUR 3,000 3,605
Comcast Corp. 5.500% 11/23/29 GBP 4,000 6,968
DH Europe Finance SA 1.000% 7/8/19 EUR 4,400 4,887
DH Europe Finance SA 1.700% 1/4/22 EUR 26,000 30,086
Digital Stout Holding LLC 4.250% 1/17/25 GBP 2,000 2,849
Digital Stout Holding LLC 4.750% 10/13/23 GBP 1,000 1,454
Discovery Communications LLC 2.375% 3/7/22 EUR 1,000 1,159
Dover Corp. 1.250% 11/9/26 EUR 19,700 21,236
Dover Corp. 2.125% 12/1/20 EUR 1,300 1,508
Eastman Chemical Co. 1.500% 5/26/23 EUR 10,000 11,258
Eastman Chemical Co. 1.875% 11/23/26 EUR 5,000 5,628
Ecolab Inc. 1.000% 1/15/24 EUR 7,620 8,363
Eli Lilly & Co. 1.000% 6/2/22 EUR 13,800 15,509
Expedia Inc. 2.500% 6/3/22 EUR 1,350 1,568
FedEx Corp. 0.500% 4/9/20 EUR 1,900 2,088
FedEx Corp. 1.000% 1/11/23 EUR 700 770
FedEx Corp. 1.625% 1/11/27 EUR 3,000 3,306
Fidelity International Ltd. 2.500% 11/4/26 EUR 157 172
Flowserve Corp. 1.250% 3/17/22 EUR 3,700 4,054
Fluor Corp. 1.750% 3/21/23 EUR 7,450 8,452
Ford Credit Canada Co. 2.710% 2/23/22 CAD 8,000 5,946
Ford Credit Canada Ltd. 2.580% 5/10/21 CAD 5,000 3,709
Ford Credit Canada Ltd. 2.923% 9/16/20 CAD 1,450 1,092
Ford Credit Canada Ltd. 3.279% 7/2/21 CAD 2,800 2,132
Ford Credit Canada Ltd. 3.700% 8/2/18 CAD 7,000 5,270
Ford Motor Credit Co. LLC 3.588% 6/2/20 AUD 330 250
Ford Motor Credit Co. LLC 4.050% 12/10/18 AUD 9,846 7,509
GE Capital Canada Funding Co. 4.600% 1/26/22 CAD 5,411 4,472
GE Capital Canada Funding Co. 5.730% 10/22/37 CAD 1,500 1,461
GE Capital European Funding Unlimited Co. 2.625% 3/15/23 EUR 15,000 18,370
GE Capital European Funding Unlimited Co. 4.625% 2/22/27 EUR 4,000 5,755
GE Capital European Funding Unlimited Co. 5.375% 1/23/20 EUR 11,300 14,100
GE Capital European Funding Unlimited Co. 6.025% 3/1/38 EUR 1,500 2,817
GE Capital UK Funding Unlimited Co. 4.125% 9/13/23 GBP 3,249 4,907
GE Capital UK Funding Unlimited Co. 4.375% 7/31/19 GBP 1,000 1,399
GE Capital UK Funding Unlimited Co. 5.875% 11/4/20 GBP 1,400 2,128
GE Capital UK Funding Unlimited Co. 5.875% 1/18/33 GBP 1,500 2,855
GE Capital UK Funding Unlimited Co. 6.250% 5/5/38 GBP 2,414 5,013
GE Capital UK Funding Unlimited Co. 6.750% 8/6/18 GBP 1,000 1,393
General Electric Capital Corp. 3.125% 12/6/19 CHF 1,000 1,098
General Electric Capital Corp. 4.125% 9/19/35 EUR 5,200 7,776

 

96


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
General Electric Capital Corp. 4.875% 9/18/37 GBP 2,236 3,881
General Electric Capital Corp. 5.500% 6/7/21 GBP 1,000 1,529
General Electric Capital Corp. 6.250% 9/29/20 GBP 1,657 2,532
General Electric Co. 1.250% 5/26/23 EUR 2,900 3,291
General Electric Co. 1.875% 5/28/27 EUR 13,400 15,718
General Mills Inc. 1.000% 4/27/23 EUR 7,000 7,725
General Mills Inc. 1.500% 4/27/27 EUR 2,000 2,205
General Mills Inc. 2.100% 11/16/20 EUR 1,000 1,156
General Motors Financial Co. Inc. 0.955% 9/7/23 EUR 9,706 10,375
Goldman Sachs Group Inc. 1.375% 7/26/22 EUR 10,300 11,592
Goldman Sachs Group Inc. 1.625% 7/27/26 EUR 20,000 21,635
Goldman Sachs Group Inc. 2.000% 7/27/23 EUR 14,791 17,032
Goldman Sachs Group Inc. 2.125% 9/30/24 EUR 9,139 10,551
1 Goldman Sachs Group Inc. 2.433% 4/26/23 CAD 10,200 7,490
Goldman Sachs Group Inc. 2.875% 6/3/26 EUR 5,000 6,026
Goldman Sachs Group Inc. 3.250% 2/1/23 EUR 10,900 13,445
Goldman Sachs Group Inc. 4.250% 1/29/26 GBP 3,100 4,546
Goldman Sachs Group Inc. 4.750% 10/12/21 EUR 1,100 1,408
Goldman Sachs Group Inc. 5.000% 8/21/19 AUD 16,500 12,949
Goldman Sachs Group Inc. 5.125% 10/23/19 EUR 5,000 6,121
Goldman Sachs Group Inc. 5.500% 10/12/21 GBP 2,800 4,197
Goldman Sachs Group Inc. 6.375% 5/2/18 EUR 100 116
Goldman Sachs Group Inc. 6.875% 1/18/38 GBP 6,100 11,278
Goldman Sachs Group Inc. 7.250% 4/10/28 GBP 700 1,293
Harman Finance International SCA 2.000% 5/27/22 EUR 8,200 9,434
Honeywell International Inc. 0.650% 2/21/20 EUR 5,920 6,546
Honeywell International Inc. 1.300% 2/22/23 EUR 3,300 3,744
Honeywell International Inc. 2.250% 2/22/28 EUR 5,490 6,610
Illinois Tool Works Inc. 1.250% 5/22/23 EUR 3,100 3,505
Illinois Tool Works Inc. 1.750% 5/20/22 EUR 7,400 8,605
Illinois Tool Works Inc. 2.125% 5/22/30 EUR 4,700 5,556
Intel Corp. 4.000% 12/1/22 AUD 5,000 3,892
International Business Machines Corp. 0.500% 9/7/21 EUR 9,000 9,922
International Business Machines Corp. 1.375% 11/19/19 EUR 3,000 3,387
International Business Machines Corp. 1.875% 11/6/20 EUR 400 463
International Business Machines Corp. 2.625% 8/5/22 GBP 500 693
International Business Machines Corp. 2.750% 12/21/20 GBP 1,000 1,387
International Business Machines Corp. 2.875% 11/7/25 EUR 4,000 5,097
International Flavors & Fragrances Inc. 1.750% 3/14/24 EUR 6,960 7,977
Johnson & Johnson 0.250% 1/20/22 EUR 2,300 2,516
Johnson & Johnson 0.650% 5/20/24 EUR 2,200 2,418
Johnson & Johnson 1.150% 11/20/28 EUR 1,200 1,330
Johnson & Johnson 1.650% 5/20/35 EUR 4,100 4,668
Johnson Controls International plc 1.375% 2/25/25 EUR 4,065 4,438
JPMorgan Chase & Co. 0.500% 12/4/23 CHF 7,000 7,184
JPMorgan Chase & Co. 1.375% 9/16/21 EUR 5,350 6,074
JPMorgan Chase & Co. 1.500% 1/27/25 EUR 10,000 11,247
JPMorgan Chase & Co. 1.500% 10/29/26 EUR 6,108 6,765
JPMorgan Chase & Co. 1.875% 11/21/19 EUR 5,622 6,412
JPMorgan Chase & Co. 1.875% 2/10/20 GBP 6,200 8,258
JPMorgan Chase & Co. 2.750% 2/1/23 EUR 3,000 3,644
JPMorgan Chase & Co. 2.875% 5/24/28 EUR 2,500 3,119
JPMorgan Chase & Co. 3.000% 2/19/26 EUR 5,600 7,006
JPMorgan Chase & Co. 3.190% 3/5/21 CAD 270 208
JPMorgan Chase & Co. 3.500% 12/18/26 GBP 5,000 7,315

 

97


 

Total International Bond Index Fund

          Face Market
      Maturity   Amount Value
    Coupon Date  Currency (000) ($000)
  JPMorgan Chase & Co. 3.875% 9/23/20 EUR 1,000 1,225
  Kellogg Co. 1.250% 3/10/25 EUR 5,000 5,439
  Kinder Morgan Inc. 1.500% 3/16/22 EUR 7,000 7,789
  Kinder Morgan Inc. 2.250% 3/16/27 EUR 800 892
  Kraft Heinz Foods Co. 1.500% 5/24/24 EUR 400 439
  Kraft Heinz Foods Co. 2.000% 6/30/23 EUR 5,000 5,690
2 Liberty Mutual Finance Europe DAC 1.750% 3/27/24 EUR 1,400 1,557
  LYB International Finance II BV 1.875% 3/2/22 EUR 15,500 17,634
  Mastercard Inc. 1.100% 12/1/22 EUR 12,850 14,452
  MasterCard Inc. 2.100% 12/1/27 EUR 8,040 9,622
  McDonald’s Corp. 1.000% 11/15/23 EUR 7,000 7,711
  McDonald’s Corp. 1.125% 5/26/22 EUR 200 224
  McDonald’s Corp. 1.750% 5/3/28 EUR 18,000 20,255
  McDonald’s Corp. 2.000% 6/1/23 EUR 1,500 1,757
  McKesson Corp. 0.625% 8/17/21 EUR 4,250 4,636
  McKesson Corp. 1.500% 11/17/25 EUR 11,400 12,567
  McKesson Corp. 3.125% 2/17/29 GBP 8,500 11,380
  Merck & Co. Inc. 0.500% 11/2/24 EUR 9,920 10,667
  Merck & Co. Inc. 1.125% 10/15/21 EUR 7,600 8,604
  Merck & Co. Inc. 1.375% 11/2/36 EUR 2,300 2,426
  Merck & Co. Inc. 1.875% 10/15/26 EUR 3,300 3,898
  Merck & Co. Inc. 2.500% 10/15/34 EUR 5,260 6,622
1,14 Merrill Lynch & Co. Inc. 5.290% 5/30/22 CAD 12,000 8,775
  MetLife Inc. 5.250% 6/29/20 GBP 200 294
  MetLife Inc. 5.375% 12/9/24 GBP 2,350 3,836
  Metropolitan Life Global Funding I 0.875% 1/20/22 EUR 10,000 11,125
  Metropolitan Life Global Funding I 1.000% 9/19/22 CHF 3,000 3,176
  Metropolitan Life Global Funding I 2.375% 9/30/19 EUR 300 345
  Metropolitan Life Global Funding I 2.375% 1/11/23 EUR 500 599
  Metropolitan Life Global Funding I 2.625% 12/5/22 GBP 1,850 2,565
  Metropolitan Life Global Funding I 2.875% 1/11/23 GBP 2,000 2,799
  Metropolitan Life Global Funding I 4.500% 4/16/19 AUD 3,900 3,015
  Microsoft Corp. 2.125% 12/6/21 EUR 2,000 2,366
  Microsoft Corp. 2.625% 5/2/33 EUR 4,000 5,083
  Microsoft Corp. 3.125% 12/6/28 EUR 11,200 14,816
  Mohawk Industries Inc. 2.000% 1/14/22 EUR 8,100 9,335
  Molson Coors Brewing Co. 1.250% 7/15/24 EUR 7,600 8,299
  Molson Coors International LP 2.750% 9/18/20 CAD 150 113
  Molson Coors International LP 3.440% 7/15/26 CAD 2,850 2,130
  Mondelez International Inc. 1.000% 3/7/22 EUR 2,150 2,391
  Mondelez International Inc. 1.625% 1/20/23 EUR 5,800 6,601
  Mondelez International Inc. 1.625% 3/8/27 EUR 1,765 1,924
  Mondelez International Inc. 2.375% 3/6/35 EUR 1,162 1,222
  Moody’s Corp. 1.750% 3/9/27 EUR 11,010 12,356
  Morgan Stanley 1.000% 12/2/22 EUR 16,090 17,652
  Morgan Stanley 1.375% 10/27/26 EUR 6,311 6,671
  Morgan Stanley 1.750% 3/11/24 EUR 1,150 1,298
  Morgan Stanley 1.750% 1/30/25 EUR 12,300 13,745
  Morgan Stanley 1.875% 3/30/23 EUR 2,900 3,321
  Morgan Stanley 1.875% 4/27/27 EUR 15,454 16,874
  Morgan Stanley 2.375% 3/31/21 EUR 1,200 1,404
  Morgan Stanley 2.625% 3/9/27 GBP 12,800 16,755
  Morgan Stanley 3.000% 2/7/24 CAD 10,000 7,480
  Morgan Stanley 3.125% 11/21/18 CHF 3,000 3,177
  Morgan Stanley 3.125% 8/5/21 CAD 9,500 7,273

 

98


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Mylan NV 1.250% 11/23/20 EUR 12,000 13,375
Mylan NV 3.125% 11/22/28 EUR 1,180 1,373
Nasdaq Inc. 3.875% 6/7/21 EUR 1,000 1,238
National Grid North America Inc. 0.750% 2/11/22 EUR 9,000 9,923
New York Life Global Funding 0.375% 2/2/22 CHF 3,000 3,068
Oracle Corp. 2.250% 1/10/21 EUR 400 470
Oracle Corp. 3.125% 7/10/25 EUR 1,000 1,287
2 Parker-Hannifin Corp. 1.125% 3/1/25 EUR 4,500 4,933
PepsiCo Inc. 0.875% 7/18/28 EUR 3,600 3,789
PepsiCo Inc. 1.750% 4/28/21 EUR 3,000 3,469
PepsiCo Inc. 2.500% 11/1/22 GBP 400 557
PerkinElmer Inc. 1.875% 7/19/26 EUR 4,600 5,051
Pfizer Inc. 0.000% 3/6/20 EUR 2,550 2,778
Pfizer Inc. 0.250% 3/6/22 EUR 4,200 4,556
Pfizer Inc. 1.000% 3/6/27 EUR 3,400 3,697
Pfizer Inc. 5.750% 6/3/21 EUR 600 801
Pfizer Inc. 6.500% 6/3/38 GBP 3,750 7,871
Philip Morris International Inc. 1.750% 3/19/20 EUR 2,500 2,850
Philip Morris International Inc. 2.000% 5/9/36 EUR 8,000 8,850
Philip Morris International Inc. 2.875% 3/3/26 EUR 1,500 1,878
Philip Morris International Inc. 2.875% 5/14/29 EUR 2,500 3,156
Philip Morris International Inc. 3.125% 6/3/33 EUR 1,000 1,290
PPG Industries Inc. 0.875% 3/13/22 EUR 2,500 2,755
PPG Industries Inc. 0.875% 11/3/25 EUR 2,600 2,743
Praxair Inc. 1.500% 3/11/20 EUR 1,500 1,702
Praxair Inc. 1.625% 12/1/25 EUR 2,750 3,172
Priceline Group Inc. 0.800% 3/10/22 EUR 9,398 10,262
Priceline Group Inc. 1.800% 3/3/27 EUR 9,488 10,333
Priceline Group Inc. 2.375% 9/23/24 EUR 4,000 4,672
Procter & Gamble Co. 1.125% 11/2/23 EUR 1,270 1,438
Procter & Gamble Co. 1.375% 5/3/25 GBP 8,800 11,347
Procter & Gamble Co. 1.800% 5/3/29 GBP 9,325 11,899
Procter & Gamble Co. 2.000% 11/5/21 EUR 4,000 4,715
Procter & Gamble Co. 2.000% 8/16/22 EUR 11,730 13,885
Procter & Gamble Co. 4.125% 12/7/20 EUR 2,150 2,686
Prologis LP 1.375% 10/7/20 EUR 3,683 4,148
Prologis LP 1.375% 5/13/21 EUR 3,400 3,833
Prologis LP 3.000% 6/2/26 EUR 1,600 1,982
Prologis LP 3.375% 2/20/24 EUR 1,500 1,878
Southern Power Co. 1.000% 6/20/22 EUR 24,600 26,874
Southern Power Co. 1.850% 6/20/26 EUR 9,400 10,316
Thermo Fisher Scientific Inc. 0.750% 9/12/24 EUR 4,680 4,945
Thermo Fisher Scientific Inc. 1.375% 9/12/28 EUR 3,041 3,199
Thermo Fisher Scientific Inc. 1.450% 3/16/27 EUR 4,559 4,947
Thermo Fisher Scientific Inc. 1.500% 12/1/20 EUR 800 904
Thermo Fisher Scientific Inc. 2.000% 4/15/25 EUR 1,000 1,150
Thermo Fisher Scientific Inc. 2.150% 7/21/22 EUR 800 931
Time Warner Cable Inc. 5.750% 6/2/31 GBP 1,200 1,907
Time Warner Cable LLC 5.250% 7/15/42 GBP 800 1,221
Time Warner Inc. 1.950% 9/15/23 EUR 800 920
Toyota Motor Credit Corp. 1.000% 3/9/21 EUR 5,000 5,623
Trinity Acquisition plc 2.125% 5/26/22 EUR 5,526 6,254
Tyco Electronics Group SA 1.100% 3/1/23 EUR 3,727 4,108
United Parcel Service Inc. 1.625% 11/15/25 EUR 11,900 13,800
United Parcel Service Inc. 5.125% 2/12/50 GBP 1,050 2,127

 

99


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
United Technologies Corp. 1.125% 12/15/21 EUR 4,700 5,306
United Technologies Corp. 1.250% 5/22/23 EUR 3,200 3,611
United Technologies Corp. 1.875% 2/22/26 EUR 1,660 1,940
Verizon Communications Inc. 0.875% 4/2/25 EUR 4,900 5,173
Verizon Communications Inc. 1.375% 11/2/28 EUR 4,800 5,014
Verizon Communications Inc. 1.625% 3/1/24 EUR 5,871 6,632
Verizon Communications Inc. 2.375% 2/17/22 EUR 2,000 2,357
Verizon Communications Inc. 2.625% 12/1/31 EUR 12,829 14,809
Verizon Communications Inc. 3.125% 11/2/35 GBP 6,700 8,478
Verizon Communications Inc. 3.250% 2/17/26 EUR 2,500 3,133
Verizon Communications Inc. 4.750% 2/17/34 GBP 1,500 2,310
VF Corp. 0.625% 9/20/23 EUR 5,400 5,776
Wal-Mart Stores Inc. 1.900% 4/8/22 EUR 8,100 9,509
Wal-Mart Stores Inc. 2.550% 4/8/26 EUR 6,400 7,980
Wal-Mart Stores Inc. 4.875% 9/21/29 EUR 5,750 8,837
Wal-Mart Stores Inc. 4.875% 1/19/39 GBP 1,400 2,496
Wal-Mart Stores Inc. 5.250% 9/28/35 GBP 700 1,282
Wal-Mart Stores Inc. 5.625% 3/27/34 GBP 8,000 14,919
Walgreens Boots Alliance Inc. 2.125% 11/20/26 EUR 6,255 7,088
Walgreens Boots Alliance Inc. 2.875% 11/20/20 GBP 2,643 3,596
Walgreens Boots Alliance Inc. 3.600% 11/20/25 GBP 7,325 10,432
Wells Fargo & Co. 1.000% 2/2/27 EUR 6,000 6,257
Wells Fargo & Co. 1.125% 10/29/21 EUR 5,000 5,623
Wells Fargo & Co. 1.375% 10/26/26 EUR 6,000 6,526
Wells Fargo & Co. 1.625% 6/2/25 EUR 5,000 5,623
Wells Fargo & Co. 2.000% 7/28/25 GBP 30,000 38,737
Wells Fargo & Co. 2.000% 4/27/26 EUR 12,000 13,822
Wells Fargo & Co. 2.222% 3/15/21 CAD 2,700 2,003
Wells Fargo & Co. 2.250% 9/3/20 EUR 9,000 10,460
Wells Fargo & Co. 2.250% 5/2/23 EUR 2,000 2,362
Wells Fargo & Co. 2.975% 5/19/26 CAD 10,100 7,500
Wells Fargo & Co. 3.000% 7/27/21 AUD 11,200 8,319
Wells Fargo & Co. 3.500% 9/12/29 GBP 3,330 4,810
Wells Fargo & Co. 3.874% 5/21/25 CAD 350 273
Wells Fargo Bank NA 5.250% 8/1/23 GBP 1,650 2,554
Welltower Inc. 4.500% 12/1/34 GBP 2,800 4,185
Welltower Inc. 4.800% 11/20/28 GBP 1,500 2,310
Whirlpool Corp. 0.625% 3/12/20 EUR 2,300 2,538
Whirlpool Finance Luxembourg Sarl 1.250% 11/2/26 EUR 10,700 11,627
WPC Eurobond BV 2.250% 7/19/24 EUR 13,100 14,728
Xylem Inc. 2.250% 3/11/23 EUR 3,800 4,426
Zimmer Biomet Holdings Inc. 1.414% 12/13/22 EUR 5,200 5,765
Zimmer Biomet Holdings Inc. 2.425% 12/13/26 EUR 7,500 8,476
          2,116,549
U.S. Government and Agency Obligations (0.0%)          
15 Tennessee Valley Authority 5.625% 6/7/32 GBP 1,400 2,556
          2,556
Total United States (Cost $2,151,479)         2,119,105

 

100


 

Total International Bond Index Fund

        Face Market
    Maturity   Amount Value
  Coupon Date  Currency (000) ($000)
Temporary Cash Investments (1.8%)          
Time Deposits (1.2%)          
ANZ National Bank Limited 1.000% 5/1/17 AUD 79,177 59,288
Sumitomo Mitsui Bank 0.050% 5/2/17 GBP 3,720 4,818
Bank of Montreal 0.050% 5/2/17 CAD 49,954 36,595
Royal Bank of Canada 0.050% 5/1/17 CAD 33,654 24,654
Brown Brothers Harriman & Co. (0.600)% 5/1/17 DKK 11,590 1,697
Sumitomo Mitsui Bank (0.575)% 5/2/17 EUR 568,853 619,652
Den Norske Bank (0.575)% 5/2/17 EUR 49,470 53,887
Brown Brothers Harriman & Co. 0.005% 5/2/17 HKD 8,116 1,043
Skandinaviska Enskilda Banken AB (0.220)% 5/1/17 JPY 4,793,583 43,001
ANZ National Bank Limited 1.150% 5/1/17 NZD 18,625 12,788
Brown Brothers Harriman & Co. 0.050% 5/2/17 NOK 230,531 26,850
Brown Brothers Harriman & Co. 0.010% 5/2/17 SGD 29,633 21,210
Wachovia Capital Markets LLC 6.600% 5/2/17 ZAR 341,190 25,531
Skandinaviska Enskilda Banken AB (0.950)% 5/2/17 SEK 484,325 54,681
Brown Brothers Harriman & Co. (1.450)% 5/2/17 CHF 4,266 4,288
          989,983
 
        Shares  
Money Market Fund (0.6%)          
16 Vanguard Market Liquidity Fund 1.034%     4,981,773 498,277
Total Temporary Cash Investments (Cost $1,488,247)       1,488,260
Total Investments (99.6%) (Cost $83,272,371)         81,957,036
 
          Amount
          ($000)
Other Assets and Liabilities (0.4%)          
Other Assets          
Investment in Vanguard         5,283
Receivables for Investment Securities Sold         483,634
Receivables for Accrued Income         628,917
Receivables for Capital Shares Issued         676,584
Unrealized Appreciation on Foreign Currency Contracts       296,377
Other Assets         183,943
Total Other Assets         2,274,738
Liabilities          
Payables for Investment Securities Purchased         (850,129)
Payables for Capital Shares Redeemed         (9,008)
Payables for Distributions         (2,269)
Payables to Vanguard         (18,163)
Unrealized Depreciation on Foreign Currency Contracts       (1,071,360)
Other Liabilities         (14,291)
Total Liabilities         (1,965,220)
Net Assets (100%)         82,266,554

 

101


 

Total International Bond Index Fund

At April 30, 2017, net assets consisted of:  
  Amount
  ($000)
Paid-in Capital 79,861,578
Overdistributed Net Investment Income (640,477)
Accumulated Net Realized Gains 5,125,918
Unrealized Appreciation (Depreciation)  
Investment Securities (1,315,335)
Futures Contracts 770
Forward Currency Contracts (774,983)
Foreign Currencies 9,083
Net Assets 82,266,554
 
Investor Shares—Net Assets  
Applicable to 2,172,287,599 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 23,593,331
Net Asset Value Per Share—Investor Shares $10.86
 
ETF Shares—Net Assets  
Applicable to 127,105,987 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 6,898,379
Net Asset Value Per Share—ETF Shares $54.27
 
Admiral Shares—Net Assets  
Applicable to 1,397,101,843 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 30,342,165
Net Asset Value Per Share—Admiral Shares $21.72
 
Institutional Shares—Net Assets  
Applicable to 657,621,835 outstanding $.001 par value shares of  
beneficial interest (unlimited authorization) 21,432,679
Net Asset Value Per Share—Institutional Shares $32.59

 

• See Note A in Notes to Financial Statements.
1 The average or expected maturity is shorter than the final maturity shown because of the possibility of interim principal payments
and prepayments or the possibility of the issue being called.
2 Security exempt from registration under Rule 144A of the Securities Act of 1933. Such securities may be sold in transactions exempt
from registration, normally to qualified institutional buyers. At April 30, 2017, the aggregate value of these securities was
$7,740,274,000, representing 9.4% of net assets.
3 Guaranteed by the Republic of Austria.
4 Guaranteed by multiple countries.
5 Guaranteed by the Government of Canada.
6 Guaranteed by the Republic of France.
7 Guaranteed by the Federal Republic of Germany.
8 Securities with a value of $958,974,000 have been segregated as collateral for open forward currency contracts.
9 Securities with a value of $1,441,000 have been segregated as initial margin for open futures contracts.
10 Guaranteed by the Government of Japan.
11 Guaranteed by the Republic of Malta.
12 Guaranteed by the Kingdom of Spain.
13 Guaranteed by the Government of the United Kingdom.
14 Adjustable-rate security.
15 The issuer operates under a congressional charter; its securities are generally neither guaranteed by the U.S. Treasury nor backed by
the full faith and credit of the U.S. government.

102


 

Total International Bond Index Fund

16 Affiliated money market fund available only to Vanguard funds and certain trusts and accounts managed by Vanguard. Rate shown is
the 7-day yield.
REIT—Real Estate Investment Trust.
AUD—Australian dollar.
CAD—Canadiandollar.
CHF—Swissfranc.
CZK—Czech koruna.
DKK—Danish krone.
EUR—euro.
GBP—Britishpound.
HKD—Hong Kong dollar.
HUF—Hungarian forint.
ILS—Israeli shekel.
JPY—Japaneseyen.
KRW—SouthKoreanwon.
MXN—Mexican peso.
MYR—Malaysianringgit.
NOK—Norwegian krone.
NZD—New Zealand dollar.
PLN—Polish new zloty.
RUB—Russianruble.
SEK—Swedishkrona.
SGD—Singapore dollar.
THB—Thaibaht.
USD—U.S.dollar.
ZAR—South African rand.

See accompanying Notes, which are an integral part of the Financial Statements.

103


 

Total International Bond Index Fund

Statement of Operations

  Six Months Ended
  April 30, 2017
  ($000)
Investment Income  
Income  
Interest1,2 419,515
Total Income 419,515
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 1,184
Management and Administrative—Investor Shares 13,350
Management and Administrative—ETF Shares 2,990
Management and Administrative—Admiral Shares 12,045
Management and Administrative—Institutional Shares 5,161
Marketing and Distribution—Investor Shares 2,058
Marketing and Distribution—ETF Shares 237
Marketing and Distribution—Admiral Shares 1,238
Marketing and Distribution—Institutional Shares 259
Custodian Fees 2,814
Shareholders’ Reports—Investor Shares 211
Shareholders’ Reports—ETF Shares 239
Shareholders’ Reports—Admiral Shares 282
Shareholders’ Reports—Institutional Shares 4
Trustees’ Fees and Expenses 23
Total Expenses 42,095
Net Investment Income 377,420
Realized Net Gain (Loss)  
Investment Securities Sold1 (539,887)
Futures Contracts 1,114
Foreign Currencies and Forward Currency Contracts 3,557,994
Realized Net Gain (Loss) 3,019,221
Change in Unrealized Appreciation (Depreciation)  
Investment Securities (811,395)
Futures Contracts 184
Foreign Currencies and Forward Currency Contracts (2,619,062)
Change in Unrealized Appreciation (Depreciation) (3,430,273)
Net Increase (Decrease) in Net Assets Resulting from Operations (33,632)

 

1 Interest income and realized net gain (loss) from affiliated companies of the fund were $1,317,000 and $9,000, respectively.

2 Interest income is net of foreign withholding taxes of $3,264,000.

See accompanying Notes, which are an integral part of the Financial Statements.

104


 

Total International Bond Index Fund

Statement of Changes in Net Assets

  Six Months Ended Year Ended
  April 30, October 31,
  2017 2016
  ($000) ($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 377,420 694,358
Realized Net Gain (Loss) 3,019,221 (1,991,559)
Change in Unrealized Appreciation (Depreciation) (3,430,273) 4,192,084
Net Increase (Decrease) in Net Assets Resulting from Operations (33,632) 2,894,883
Distributions    
Net Investment Income    
Investor Shares (260,151) (296,357)
ETF Shares (75,211) (72,170)
Admiral Shares (286,969) (243,061)
Institutional Shares (214,480) (222,603)
Realized Capital Gain    
Investor Shares
ETF Shares
Admiral Shares
Institutional Shares
Total Distributions (836,811) (834,191)
Capital Share Transactions    
Investor Shares 2,373,872 323,236
ETF Shares 1,285,060 1,541,385
Admiral Shares 10,050,586 7,390,515
Institutional Shares 4,869,251 3,213,901
Net Increase (Decrease) from Capital Share Transactions 18,578,769 12,469,037
Total Increase (Decrease) 17,708,326 14,529,729
Net Assets    
Beginning of Period 64,558,228 50,028,499
End of Period1 82,266,554 64,558,228

 

1 Net Assets—End of Period includes undistributed (overdistributed) net investment income of ($640,477,000) and ($181,086,000).

See accompanying Notes, which are an integral part of the Financial Statements.

105


 

Total International Bond Index Fund

Financial Highlights

Investor Shares          
       
  Six Months       May 31,
   Ended 20131 to
  April 30, Oct. 31,
For a Share Outstanding Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $11.02 $10.61 $10.45 $9.99 $10.00
Investment Operations          
Net Investment Income . 056 2 .135 .141 .152 .060
Net Realized and Unrealized Gain (Loss)          
on Investments (.087) .432 .176 .455 (.011)
Total from Investment Operations (.031) .567 .317 .607 .049
Distributions          
Dividends from Net Investment Income (.129) (.157) (.157) (.147) (. 059)
Distributions from Realized Capital Gains
Total Distributions (.129) (.157) (.157) (.147) (. 059)
Net Asset Value, End of Period $10.86 $11.02 $10.61 $10.45 $9.99
 
Total Return3 -0.27% 5.38% 3.04% 6.12% 0.50%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $23,593 $21,521 $20,434 $14,573 $12,454
Ratio of Total Expenses to Average Net Assets 0.15% 0.15% 0.17% 0.23% 0.23%4
Ratio of Net Investment Income to          
Average Net Assets 1.04% 1.18% 1.32% 1.52% 1.44%4
Portfolio Turnover Rate 5 22% 20% 13% 16% 31%6

 

The expense ratio, net investment income ratio, and turnover rate for the current period have been annualized.
1 Inception.
2 Calculated based on average shares outstanding.
3 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about
any applicable account service fees.
4 Annualized.
5 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.
6 Excludes trading activity during the Transition Period.

See accompanying Notes, which are an integral part of the Financial Statements.

106


 

Total International Bond Index Fund

Financial Highlights

ETF Shares          
       
  Six Months       May 31,
   Ended  20131 to
  April 30, Year Ended October 31, Oct. 31,
For a Share Outstanding Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $55.09 $53.04 $52.23 $49.95 $49.94
Investment Operations          
Net Investment Income . 286 2 .697 .714 .783 .306
Net Realized and Unrealized Gain (Loss)          
on Investments (.438) 2.175 .882 2.249 (.054)
Total from Investment Operations (.152) 2.872 1.596 3.032 .252
Distributions          
Dividends from Net Investment Income (. 668) (. 822) (.786) (.752) (. 242)
Distributions from Realized Capital Gains
Total Distributions (. 668) (. 822) (.786) (.752) (. 242)
Net Asset Value, End of Period $54.27 $55.09 $53.04 $52.23 $49.95
 
Total Return -0.27% 5.46% 3.07% 6.13% 0.51%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $6,898 $5,692 $3,968 $2,300 $665
Ratio of Total Expenses to Average Net Assets 0.12% 0.12% 0.15% 0.19% 0.20%3
Ratio of Net Investment Income to          
Average Net Assets 1.07% 1.21% 1.34% 1.56% 1.48%3
Portfolio Turnover Rate 4 22% 20% 13% 16% 31%5

 

The expense ratio, net investment income ratio, and turnover rate for the current period have been annualized.

1 Inception.
2 Calculated based on average shares outstanding.
3 Annualized.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.
5 Excludes trading activity during the Transition Period.

See accompanying Notes, which are an integral part of the Financial Statements.

107


 

Total International Bond Index Fund

Financial Highlights

Admiral Shares          
       
  Six Months       May 31,
   Ended  20131 to
  April 30, Year Ended October 31, Oct. 31,
For a Share Outstanding Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $22.04 $21.21 $20.89 $19.98 $20.00
Investment Operations          
Net Investment Income .113 2 .277 .289 .312 .125
Net Realized and Unrealized Gain (Loss)          
on Investments (.171) .874 .349 .903 (.023)
Total from Investment Operations (.058) 1.151 .638 1.215 .102
Distributions          
Dividends from Net Investment Income (. 262) (. 321) (. 318) (. 305) (.122)
Distributions from Realized Capital Gains
Total Distributions (. 262) (. 321) (. 318) (. 305) (.122)
Net Asset Value, End of Period $21.72 $22.04 $21.21 $20.89 $19.98
 
Total Return3 -0.25% 5.46% 3.06% 6.13% 0.52%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $30,342 $20,572 $12,595 $4,725 $1,636
Ratio of Total Expenses to Average Net Assets 0.12% 0.12% 0.14% 0.19% 0.20%4
Ratio of Net Investment Income to          
Average Net Assets 1.07% 1.21% 1.35% 1.56% 1.49%4
Portfolio Turnover Rate 5 22% 20% 13% 16% 31%6

 

The expense ratio, net investment income ratio, and turnover rate for the current period have been annualized.

1 Inception.
2 Calculated based on average shares outstanding.
3 Total returns do not include account service fees that may have applied in the periods shown. Fund prospectuses provide information about
any applicable account service fees.
4 Annualized.
5 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.
6 Excludes trading activity during the Transition Period.

See accompanying Notes, which are an integral part of the Financial Statements.

108


 

Total International Bond Index Fund

Financial Highlights

Institutional Shares          
       
  Six Months       May 31,
   Ended  20131 to
  April 30, Year Ended October 31, Oct. 31,
For a Share Outstanding Throughout Each Period 2017 2016 2015 2014 2013
Net Asset Value, Beginning of Period $33.07 $31.83 $31.34 $29.97 $30.00
Investment Operations          
Net Investment Income .178 2 .431 .449 .490 .193
Net Realized and Unrealized Gain (Loss)          
on Investments (.257) 1.306 .536 1.358 (.034)
Total from Investment Operations (.079) 1.737 .985 1.848 .159
Distributions          
Dividends from Net Investment Income (. 401) (. 497) (. 495) (. 478) (.189)
Distributions from Realized Capital Gains
Total Distributions (. 401) (. 497) (. 495) (. 478) (.189)
Net Asset Value, End of Period $32.59 $33.07 $31.83 $31.34 $29.97
 
Total Return -0.23% 5.49% 3.15% 6.22% 0.54%
 
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $21,433 $16,773 $13,032 $6,747 $3,361
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.09% 0.12% 0.12%3
Ratio of Net Investment Income to          
Average Net Assets 1.12% 1.26% 1.40% 1.63% 1.55%3
Portfolio Turnover Rate 4 22% 20% 13% 16% 31%5

 

The expense ratio, net investment income ratio, and turnover rate for the current period have been annualized.

1 Inception.
2 Calculated based on average shares outstanding.
3 Annualized.
4 Excludes the value of portfolio securities received or delivered as a result of in-kind purchases or redemptions of the fund’s capital shares,
including ETF Creation Units.
5 Excludes trading activity during the Transition Period.

See accompanying Notes, which are an integral part of the Financial Statements.

109


 

Total International Bond Index Fund

Notes to Financial Statements

Vanguard Total International Bond Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund invests in securities of foreign issuers, which may subject it to investment risks not normally associated with investing in securities of U.S. corporations. To minimize the currency risk associated with investment in bonds denominated in currencies other than the U.S. dollar, the fund attempts to hedge its currency exposures. The fund offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Select Shares. Investor Shares are available to any investor who meets the fund’s minimum purchase requirements. ETF Shares are listed for trading on Nasdaq; they can be purchased and sold through a broker. Admiral Shares, Institutional Shares, and Institutional Select Shares are designed for investors who meet certain administrative, service, and account-size criteria. The fund has not issued any Institutional Select Shares through April 30, 2017.

A. The following significant accounting policies conform to generally accepted accounting principles for U.S. investment companies. The fund consistently follows such policies in preparing its financial statements.

1. Security Valuation: Securities are valued as of the close of trading on the New York Stock Exchange (generally 4 p.m., Eastern time) on the valuation date. Bonds and temporary cash investments are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities, and ratings), both as furnished by independent pricing services. Structured debt securities, including mortgages and asset-backed securities, are valued using the latest bid prices or using valuations based on a matrix system that considers such factors as issuer, tranche, nominal or option-adjusted spreads, weighted average coupon, weighted average maturity, credit enhancements, and collateral. Investments in Vanguard Market Liquidity Fund are valued at that fund’s net asset value. Securities for which market quotations are not readily available, or whose values have been affected by events occurring before the fund’s pricing time but after the close of the securities’ primary markets, are valued at their fair values calculated according to procedures adopted by the board of trustees. These procedures include obtaining quotations from an independent pricing service, monitoring news to identify significant market- or security-specific events, and evaluating changes in the values of foreign market proxies (for example, ADRs, futures contracts, or exchange-traded funds), between the time the foreign markets close and the fund’s pricing time. When fair-value pricing is employed, the prices of securities used by a fund to calculate its net asset value may differ from quoted or published prices for the same securities.

2. Foreign Currency: Securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars using exchange rates obtained from an independent third party as of the fund’s pricing time on the valuation date. Realized gains (losses) and unrealized appreciation (depreciation) on investment securities include the effects of changes in exchange rates since the securities were purchased, combined with the effects of changes in security prices. Fluctuations in the value of other assets and liabilities resulting from changes in exchange rates are recorded as unrealized foreign currency gains (losses) until the assets or liabilities are settled in cash, at which time they are recorded as realized foreign currency gains (losses).

3. Futures Contracts: The fund uses futures contracts to invest in fixed income asset classes with greater efficiency and lower cost than is possible through direct investment, to add value when these instruments are attractively priced, or to adjust sensitivity to changes in interest rates. The primary risks associated with the use of futures contracts are imperfect correlation between changes in market values of bonds held by the fund and the prices of futures contracts, and the possibility of an illiquid market. Counterparty risk involving futures is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades

110


 

Total International Bond Index Fund

futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing brokers. The clearinghouse imposes initial margin requirements to secure the fund’s performance and requires daily settlement of variation margin representing changes in the market value of each contract.

Futures contracts are valued at their quoted daily settlement prices. The aggregate settlement values of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized futures gains (losses).

During the six months ended April 30, 2017, the fund’s average investments in long and short futures contracts each represented less than 1% of net assets, based on the average of aggregate settlement values at each quarter-end during the period. The fund had no open futures contracts at April 30, 2017.

4. Forward Currency Contracts: The fund enters into forward currency contracts to protect the value of securities and related receivables and payables against changes in future foreign exchange rates. The fund’s risks in using these contracts include movement in the values of the foreign currencies relative to the U.S. dollar and the ability of the counterparties to fulfill their obligations under the contracts. The fund mitigates its counterparty risk by entering into forward currency contracts only with a diverse group of prequalified counterparties, monitoring their financial strength, entering into master netting arrangements with its counterparties, and requiring its counterparties to transfer collateral as security for their performance. In the absence of a default, the collateral pledged or received by the fund cannot be repledged, resold, or rehypothecated. The master netting arrangements provide that, in the event of a counterparty’s default (including bankruptcy), the fund may terminate the forward currency contracts, determine the net amount owed by either party in accordance with its master netting arrangements, and sell or retain any collateral held up to the net amount owed to the fund under the master netting arrangements. The forward currency contracts contain provisions whereby a counterparty may terminate open contracts if the fund’s net assets decline below a certain level, triggering a payment by the fund if the fund is in a net liability position at the time of the termination. The payment amount would be reduced by any collateral the fund has pledged.

Any assets pledged as collateral for open contracts are noted in the Statement of Net Assets. The value of collateral received or pledged is compared daily to the value of the forward currency contracts exposure with each counterparty, and any difference, if in excess of a specified minimum transfer amount, is adjusted and settled within two business days.

Forward currency contracts are valued at their quoted daily prices obtained from an independent third party, adjusted for currency risk based on the expiration date of each contract. The notional amounts of the contracts are not recorded in the Statement of Net Assets. Fluctuations in the value of the contracts are recorded in the Statement of Net Assets as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the contracts are closed, when they are recorded as realized forward currency contract gains (losses).

During the six months ended April 30, 2017, the fund’s average investment in forward currency contracts represented 100% of net assets, based on the average net amount of notional exposure at each quarter-end during the period.

5. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. Management has analyzed the fund’s tax positions taken for all open federal income tax years (October 31, 2013–2016), and for the period ended April 30, 2017, and has concluded that no provision for federal income tax is required in the fund’s financial statements.

111


 

Total International Bond Index Fund

6. Distributions: Distributions to shareholders are recorded on the ex-dividend date.

7. Credit Facility: The fund and certain other funds managed by The Vanguard Group (“Vanguard”) participate in a $3.1 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement that may be renewed annually; each fund is individually liable for its borrowings, if any, under the credit facility. Borrowings may be utilized for temporary and emergency purposes, and are subject to the fund’s regulatory and contractual borrowing restrictions. The participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn amount of the facility; these fees are allocated to the funds based on a method approved by the fund’s board of trustees and included in Management and Administrative expenses on the fund’s Statement of Operations. Any borrowings under this facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate, federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread.

The fund had no borrowings outstanding at April 30, 2017, or at any time during the period then ended.

8. Other: Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities purchased are amortized and accreted, respectively, to interest income over the lives of the respective securities. Security transactions are accounted for on the date securities are bought or sold. Costs used to determine realized gains (losses) on the sale of investment securities are those of the specific securities sold.

Each class of shares has equal rights as to assets and earnings, except that each class separately bears certain class-specific expenses related to maintenance of shareholder accounts (included in Management and Administrative expenses) and shareholder reporting. Marketing and distribution expenses are allocated to each class of shares based on a method approved by the board of trustees. Income, other non-class-specific expenses, and gains and losses on investments are allocated to each class of shares based on its relative net assets.

B. In accordance with the terms of a Funds’ Service Agreement (the “FSA”) between Vanguard and the fund, Vanguard furnishes to the fund investment advisory, corporate management, administrative, marketing, and distribution services at Vanguard’s cost of operations (as defined by the FSA). These costs of operations are allocated to the fund based on methods and guidelines approved by the board of trustees. Vanguard does not require reimbursement in the current period for certain costs of operations (such as deferred compensation/benefits and risk/insurance costs); the fund’s liability for these costs of operations is included in Payables to Vanguard on the Statement of Net Assets.

Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At April 30, 2017, the fund had contributed to Vanguard capital in the amount of $5,283,000, representing 0.01% of the fund’s net assets and 2.11% of Vanguard’s capitalization. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.

112


 

Total International Bond Index Fund

C. Various inputs may be used to determine the value of the fund’s investments. These inputs are summarized in three broad levels for financial statement purposes. The inputs or methodologies used to value securities are not necessarily an indication of the risk associated with investing in those securities.

Level 1—Quoted prices in active markets for identical securities.
Level 2—Other significant observable inputs (including quoted prices for similar securities, interest
rates, prepayment speeds, credit risk, etc.).
Level 3—Significant unobservable inputs (including the fund’s own assumptions used to determine
the fair value of investments).

The following table summarizes the market value of the fund’s investments as of April 30, 2017,
based on the inputs used to value them:

  Level 1 Level 2 Level 3
Investments ($000) ($000) ($000)
U.S. Government and Agency Obligations 2,556
Asset-Backed/Commercial Mortgage-Backed Securities 4,277,012
Corporate Bonds 10,252,605
Sovereign Bonds 65,936,603
Temporary Cash Investments 498,277 989,983
Futures Contracts1
Forward Currency Contracts—Assets 296,377
Forward Currency Contracts—Liabilities (1,071,360)
Total 498,277 80,683,776
1 Represents variation margin on the last day of the reporting period.      

 

D. At April 30, 2017, the fair values of derivatives were reflected in the Statement of Net Assets as follows:

  Interest Rate Currency  
  Contracts Contracts Total
Statement of Net Assets Caption ($000) ($000) ($000)
Other Assets 296,377 296,377
Liabilities (1,071,360) (1,071,360)

 

113


 

Total International Bond Index Fund

Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the six months ended April 30, 2017, were:

Interest Rate Currency  
  Contracts Contracts Total
Realized Net Gain (Loss) on Derivatives ($000) ($000) ($000)
Futures Contracts 1,114 1,114
Forward Currency Contracts 3,556,593 3,556,593
Realized Net Gain (Loss) on Derivatives 1,114 3,556,593 3,557,707
 
Change in Unrealized Appreciation (Depreciation) on Derivatives      
Futures Contracts 184 184
Forward Currency Contracts (2,637,456) (2,637,456)
Change in Unrealized Appreciation (Depreciation) on Derivatives 184 (2,637,456) (2,637,272)

 

At April 30, 2017, the aggregate settlement value of open futures contracts and the related unrealized appreciation (depreciation) were:

        ($000)
      Aggregate  
    Number of Settlement Unrealized
    Long (Short) Value Appreciation
Futures Contracts Expiration Contracts Long (Short) (Depreciation)
Euro-Schatz June 2017 1,925 235,357 (138)
AUD 10-Year Treasury Bond June 2017 319 30,986 903
AUD 3-Year Treasury Bond June 2017 7 588 5
        770

 

Unrealized appreciation (depreciation) on open futures contracts, except for AUD 3-Year Treasury Bond and AUD 10-Year Treasury Bond, is required to be treated as realized gain (loss) for tax purposes.

114


 

Total International Bond Index Fund

At April 30, 2017, the fund had open forward currency contracts to receive and deliver currencies as follows. Unrealized appreciation (depreciation) on open forward currency contracts is treated as ordinary income for tax purposes.

           
          Unrealized
   Contract      Appreciation
  Settlement   Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
BNP Paribas 5/3/17 EUR 10,201,546 USD 11,108,975 5,325
Bank of America N.A. 5/3/17 EUR 8,025,112 USD 8,738,428 4,706
Deutsche Bank AG 5/3/17 EUR 7,070,618 USD 7,699,548 3,691
Toronto Dominion Securities 5/3/17 EUR 7,001,263 USD 7,624,025 3,655
Toronto Dominion Securities 5/2/17 JPY 557,944,893 USD 5,005,337 (224)
BNP Paribas 5/3/17 GBP 3,700,455 USD 4,787,464 5,804
Goldman Sachs Bank AG 5/2/17 JPY 446,350,863 USD 4,004,224 (180)
Credit Suisse International 5/3/17 EUR 3,004,496 USD 3,271,746 1,568
Deutsche Bank AG 5/2/17 JPY 334,769,837 USD 3,003,228 (135)
Bank of America N.A. 5/2/17 JPY 292,965,657 USD 2,628,202 (118)
Citibank, N.A. 5/3/17 GBP 1,820,140 USD 2,354,806 2,855
BNP Paribas 5/4/17 KRW 2,466,646,500 USD 2,181,329 (13,509)
Citibank, N.A. 5/2/17 CAD 2,294,672 USD 1,678,253 2,764
BNP Paribas 5/3/17 CHF 1,154,000 USD 1,159,275 760
Goldman Sachs Bank AG 5/3/17 EUR 1,033,826 USD 1,125,785 540
Morgan Stanley Capital Services LLC 5/3/17 EUR 1,033,826 USD 1,125,785 540
Citibank, N.A. 5/3/17 EUR 1,002,889 USD 1,092,096 524
UBS AG 5/2/17 AUD 1,456,067 USD 1,088,920 1,383
BNP Paribas 5/2/17 JPY 111,596,195 USD 1,001,132 (45)
Citibank, N.A. 5/2/17 JPY 111,580,119 USD 1,000,988 (45)
Credit Suisse International 5/2/17 JPY 111,560,032 USD 1,000,808 (45)
UBS AG 5/2/17 CAD 1,355,656 USD 991,513 1,605
HSBC Bank USA N.A. 5/2/17 CAD 1,294,425 USD 946,715 1,547
Toronto Dominion Securities 5/3/17 SEK 6,902,748 USD 779,549 (92)
Toronto Dominion Securities 5/2/17 CAD 1,000,247 USD 731,549 1,206
Goldman Sachs Bank AG 5/3/17 MXN 10,451,531 USD 550,726 4,153
Citibank, N.A. 5/2/17 DKK 3,598,700 USD 526,911 120
JPMorgan Chase Bank N.A. 5/2/17 AUD 686,394 USD 513,320 652
Deutsche Bank AG 5/3/17 MYR 1,879,160 USD 432,687 133
BNP Paribas 5/3/17 THB 14,414,703 USD 418,667 (1,945)
JPMorgan Chase Bank N.A. 5/4/17 PLN 1,591,210 USD 409,979 190
BNP Paribas 5/2/17 AUD 523,487 USD 391,489 497
Goldman Sachs Bank AG 5/3/17 ZAR 5,085,939 USD 380,009 353
Citibank, N.A. 5/2/17 AUD 486,052 USD 363,494 462
HSBC Bank USA N.A. 5/3/17 SGD 480,800 USD 343,994 147
Citibank, N.A. 5/2/17 NZD 370,000 USD 254,024 19

 

115


 

Total International Bond Index Fund

           
          Unrealized
   Contract      Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
JPMorgan Chase Bank N.A. 5/3/17 ILS 793,500 USD 219,214 (102)
Toronto Dominion Securities 5/3/17 NOK 1,745,210 USD 203,725 (455)
JPMorgan Chase Bank N.A. 5/3/17 CZK 4,090,000 USD 165,955 11
Credit Suisse International 5/2/17 RUB 8,750,000 USD 153,536 165
BNP Paribas 5/3/17 HUF 40,000,000 USD 139,187 (50)
HSBC Bank USA N.A. 5/4/17 HKD 171,500 USD 22,051
JPMorgan Chase Bank N.A. 5/2/17 JPY 2,400,000 USD 21,568 (39)
Toronto Dominion Securities 5/3/17 USD 12,083,876 EUR 11,286,881 (212,865)
Bank of America N.A. 5/3/17 USD 12,068,335 EUR 11,270,394 (210,445)
BNP Paribas 6/2/17 USD 11,295,096 EUR 10,358,015 (7,390)
Bank of America N.A. 6/2/17 USD 8,723,950 EUR 8,000,112 (5,633)
BNP Paribas 5/3/17 USD 7,924,140 EUR 7,400,480 (138,475)
Deutsche Bank AG 6/2/17 USD 7,710,333 EUR 7,070,618 (5,003)
Toronto Dominion Securities 6/2/17 USD 7,634,682 EUR 7,001,263 (4,975)
Toronto Dominion Securities 6/2/17 USD 5,011,038 JPY 557,944,894 (464)
Bank of America N.A. 5/2/17 USD 4,942,936 JPY 550,251,533 6,838
BNP Paribas 6/2/17 USD 4,791,275 GBP 3,700,455 (6,274)
BNP Paribas 5/3/17 USD 4,442,946 GBP 3,550,194 (155,685)
Goldman Sachs Bank AG 6/2/17 USD 4,008,682 JPY 446,350,863 (474)
Citibank, N.A. 5/2/17 USD 3,984,490 JPY 443,559,372 5,487
Toronto Dominion Securities 5/2/17 USD 3,696,953 JPY 410,311,035 16,208
Credit Suisse International 6/2/17 USD 3,276,378 EUR 3,004,496 (2,077)
Deutsche Bank AG 6/2/17 USD 3,006,582 JPY 334,769,836 (345)
Bank of America N.A. 6/2/17 USD 2,631,185 JPY 292,965,657 (253)
Citibank, N.A. 6/2/17 USD 2,382,581 GBP 1,840,140 (3,116)
Credit Suisse International 5/3/17 USD 2,303,666 EUR 2,148,920 (37,522)
BNP Paribas 6/2/17 USD 2,181,714 KRW 2,466,646,500 13,167
Citibank, N.A. 5/3/17 USD 2,177,754 GBP 1,740,402 (76,620)
Deutsche Bank AG 5/3/17 USD 2,143,034 EUR 2,001,011 (37,011)
Citibank, N.A. 5/3/17 USD 2,142,402 EUR 2,000,469 (37,053)
Barclays Capital 5/3/17 USD 2,142,372 EUR 2,000,422 (37,032)
Goldman Sachs Bank AG 5/4/17 USD 2,127,945 KRW 2,368,583,500 46,308
Goldman Sachs Bank AG 5/2/17 USD 1,769,711 CAD 2,359,820 40,968
Citibank, N.A. 5/2/17 USD 1,751,400 CAD 2,334,820 40,972
Citibank, N.A. 6/2/17 USD 1,678,963 CAD 2,294,672 (2,856)
BNP Paribas 6/2/17 USD 1,161,392 CHF 1,154,000 (972)
Morgan Stanley Capital Services LLC 6/2/17 USD 1,127,390 EUR 1,033,826 (703)
Goldman Sachs Bank AG 6/2/17 USD 1,127,389 EUR 1,033,826 (703)

 

116


 

Total International Bond Index Fund

           
          Unrealized
   Contract      Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
Citibank, N.A. 6/2/17 USD 1,093,611 EUR 1,002,889 (725)
UBS AG 6/2/17 USD 1,088,282 AUD 1,456,067 (1,360)
BNP Paribas 5/3/17 USD 1,084,803 CHF 1,084,000 (4,866)
Morgan Stanley Capital Services LLC 5/2/17 USD 1,013,047 JPY 112,733,898 1,754
BNP Paribas 6/2/17 USD 1,002,306 JPY 111,596,195 (59)
Citibank, N.A. 6/2/17 USD 1,002,139 JPY 111,580,119 (82)
Credit Suisse International 6/2/17 USD 1,001,958 JPY 111,560,032 (82)
BNP Paribas 5/2/17 USD 996,087 JPY 110,884,914 1,381
Deutsche Bank AG 5/2/17 USD 996,076 JPY 110,888,167 1,340
Barclays Capital 5/2/17 USD 995,924 JPY 110,870,285 1,349
HSBC Bank USA N.A. 5/2/17 USD 995,507 JPY 110,818,389 1,398
UBS AG 6/2/17 USD 991,884 CAD 1,355,656 (1,708)
HSBC Bank USA N.A. 6/2/17 USD 947,124 CAD 1,294,424 (1,590)
Toronto Dominion Securities 6/2/17 USD 780,718 SEK 6,902,748 (17)
Toronto Dominion Securities 6/2/17 USD 775,749 CAD 1,060,247 (1,331)
UBS AG 5/2/17 USD 750,390 CAD 1,000,360 17,552
Toronto Dominion Securities 5/3/17 USD 737,164 SEK 6,572,748 (5,029)
UBS AG 5/2/17 USD 695,505 AUD 912,189 12,458
Goldman Sachs Bank AG 6/2/17 USD 547,939 MXN 10,451,531 (3,921)
Citibank, N.A. 6/2/17 USD 527,715 DKK 3,598,700 (214)
Goldman Sachs Bank AG 5/3/17 USD 515,446 MXN 9,751,531 (2,271)
JPMorgan Chase Bank N.A. 6/2/17 USD 513,033 AUD 686,394 (627)
Toronto Dominion Securities 5/2/17 USD 504,607 DKK 3,503,700 (8,512)
JPMorgan Chase Bank N.A. 5/2/17 USD 478,187 AUD 627,116 8,603
Deutsche Bank AG 6/2/17 USD 431,991 MYR 1,879,160 (182)
Deutsche Bank AG 5/3/17 USD 424,664 MYR 1,879,160 (8,155)
BNP Paribas 6/2/17 USD 418,545 THB 14,414,703 1,911
BNP Paribas 5/2/17 USD 416,707 AUD 546,521 7,472
JPMorgan Chase Bank N.A. 6/2/17 USD 409,815 PLN 1,591,210 (212)
Deutsche Bank AG 5/3/17 USD 406,563 THB 14,019,703 1,260
BNP Paribas 6/2/17 USD 391,265 AUD 523,487 (485)
Goldman Sachs Bank AG 6/2/17 USD 378,037 ZAR 5,085,939 (203)
Citibank, N.A. 5/2/17 USD 375,964 AUD 493,039 6,776
Bank of America N.A. 5/4/17 USD 366,167 PLN 1,451,210 (7,914)
Citibank, N.A. 6/2/17 USD 363,291 AUD 486,052 (444)
JPMorgan Chase Bank N.A. 5/3/17 USD 347,347 ZAR 4,680,939 (2,725)
Barclays Capital 5/2/17 USD 345,500 AUD 453,136 6,192
HSBC Bank USA N.A. 6/2/17 USD 344,094 SGD 480,800 (161)

 

117


 

Total International Bond Index Fund

           
          Unrealized
   Contract     Appreciation 
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
UBS AG 5/3/17 USD 322,688 SGD 450,800 20
Citibank, N.A. 6/2/17 USD 253,826 NZD 370,000 1
Morgan Stanley Capital Services LLC 5/3/17 USD 230,698 EUR 215,000 (3,539)
JPMorgan Chase Bank N.A. 6/2/17 USD 219,402 ILS 793,500 72
Citibank, N.A. 5/2/17 USD 216,541 NZD 310,000 3,695
UBS AG 6/2/17 USD 215,549 JPY 24,000,000 (21)
JPMorgan Chase Bank N.A. 5/3/17 USD 204,962 ILS 743,500 (343)
Toronto Dominion Securities 6/2/17 USD 203,795 NOK 1,745,210 444
Citibank, N.A. 5/3/17 USD 179,964 NOK 1,545,210 (12)
JPMorgan Chase Bank N.A. 6/2/17 USD 166,211 CZK 4,090,000 (82)
Credit Suisse International 5/2/17 USD 154,071 RUB 8,750,000 370
Credit Suisse International 6/1/17 USD 152,486 RUB 8,750,000 (66)
JPMorgan Chase Bank N.A. 5/3/17 USD 147,578 CZK 3,710,000 (2,968)
BNP Paribas 6/2/17 USD 139,304 HUF 40,000,000 21
Toronto Dominion Securities 5/2/17 USD 112,101 CAD 150,000 2,216
Bank of America N.A. 5/3/17 USD 103,998 HUF 30,000,000 (356)
Credit Suisse International 5/3/17 USD 89,594 GBP 70,000 (1,078)
Goldman Sachs Bank AG 5/4/17 USD 85,957 KRW 98,063,000 (226)
Credit Suisse International 5/2/17 USD 80,542 JPY 8,850,000 1,152
Deutsche Bank AG 5/3/17 USD 74,964 GBP 60,000 (2,755)
BNP Paribas 6/2/17 USD 71,859 JPY 8,000,000 2
Credit Suisse International 5/3/17 USD 54,645 EUR 50,000 171
Toronto Dominion Securities 5/2/17 USD 52,884 AUD 70,000 468
BNP Paribas 6/2/17 USD 51,216 CAD 70,000 (88)
Toronto Dominion Securities 5/3/17 USD 50,149 GBP 40,000 (1,664)
JPMorgan Chase Bank N.A. 6/2/17 USD 42,021 EUR 38,532 (24)
Toronto Dominion Securities 5/2/17 USD 41,645 NZD 60,000 449
Credit Suisse International 5/3/17 USD 40,070 CHF 40,000 (139)
Barclays Capital 5/3/17 USD 38,305 GBP 30,000 (554)
BNP Paribas 5/2/17 USD 37,700 CAD 50,000 1,072
Morgan Stanley Capital Services LLC 5/2/17 USD 37,442 AUD 50,000 1
Credit Suisse International 5/2/17 USD 37,430 CAD 50,000 801
Morgan Stanley Capital Services LLC 5/3/17 USD 34,651 HUF 10,000,000 (134)
Toronto Dominion Securities 5/3/17 USD 29,879 CHF 30,000 (278)
Toronto Dominion Securities 5/3/17 USD 23,211 NOK 200,000 (84)
HSBC Bank USA N.A. 5/4/17 USD 22,083 HKD 171,500 33
HSBC Bank USA N.A. 6/2/17 USD 22,064 HKD 171,500
Toronto Dominion Securities 5/3/17 USD 20,670 MXN 390,000 (35)

 

118


 

Total International Bond Index Fund

           
          Unrealized
  Contract     Appreciation
  Settlement Contract Amount (000) (Depreciation)
Counterparty Date   Receive   Deliver ($000)
BNP Paribas 5/4/17 USD 20,185 PLN 80,000 (437)
Toronto Dominion Securities 5/3/17 USD 19,380 SEK 170,000 184
Goldman Sachs Bank AG 5/3/17 USD 18,810 GBP 15,000 (620)
Bank of America N.A. 5/3/17 USD 18,675 GBP 15,000 (754)
JPMorgan Chase Bank N.A. 5/3/17 USD 17,761 SEK 160,000 (307)
BNP Paribas 5/3/17 USD 16,383 MXN 310,000 (75)
Deutsche Bank AG 5/3/17 USD 16,036 ZAR 210,000 331
Toronto Dominion Securities 5/3/17 USD 15,467 CZK 380,000 48
Citibank, N.A. 5/4/17 USD 15,122 PLN 60,000 (344)
BNP Paribas 5/3/17 USD 14,478 ZAR 195,000 (106)
Toronto Dominion Securities 5/3/17 USD 14,296 SGD 20,000 (20)
Credit Suisse International 5/3/17 USD 13,686 ILS 50,000 (121)
JPMorgan Chase Bank N.A. 6/2/17 USD 12,948 GBP 10,000 (17)
Citibank, N.A. 6/2/17 USD 11,864 THB 408,582 54
UBS AG 5/3/17 USD 11,403 THB 395,000 (16)
JPMorgan Chase Bank N.A. 5/2/17 USD 7,165 DKK 50,000 (157)
JPMorgan Chase Bank N.A. 5/3/17 USD 7,161 SGD 10,000 3
Bank of America N.A. 5/2/17 USD 6,456 DKK 45,000 (135)
            (774,983)
Refer to the Statement of Net Assets for currency abbreviations.          

 

At April 30, 2017, counterparties had deposited in segregated accounts securities and cash with a value of $67,714,000 in connection with open forward currency contracts.

119


 

Total International Bond Index Fund

The following table summarizes the fund’s derivative assets and liabilities by counterparty for derivatives subject to agreements that provide for offsetting assets and liabilities. Exchange traded derivatives are listed separately.

         
       
   Assets  Liabilities   Amounts Not Offset in the  Net
Reflected in Reflected in Net Amount Statement of Net Assets Exposure3
Statement of  Statement of Receivable Collateral Collateral (Not Less
Net Assets1 Net Assets1 (Payable) Pledged 2 Received 2 Than $0)
  ($000) ($000) ($000) ($000) ($000) ($000)
Forwards subject to offsetting            
arrangements, by counterparty            
Bank of America N.A. 11,544 (225,608) (214,064) 263,995
Barclays Capital 7,541 (37,586) (30,045) 29,198
BNP Paribas 37,412 (330,461) (293,049) 279,882
Citibank, N.A. 63,729 (121,511) (57,782) 65,918
Credit Suisse International 4,227 (41,130) (36,903) 31,708
Deutsche Bank AG 6,755 (53,586) (46,831) 53,563
Goldman Sachs Bank AG 92,322 (8,598) 83,724 36,888 46,833
HSBC Bank USA N.A. 3,125 (1,751) 1,374 15,509
JPMorgan Chase Bank N.A. 9,531 (7,603) 1,928 1,905 23
Morgan Stanley Capital            
Services LLC 2,295 (4,376) (2,081) 6,644
Toronto Dominion Securities 24,878 (236,045) (211,167) 212,557
UBS AG 33,018 (3,105) 29,913 28,921 992
Exchange Traded Futures Contracts — 1,441
Total 296,377 (1,071,360) (774,983) 960,415 67,714 47,848

 

1 Absent an event of default or early termination, derivative assets and liabilities are presented gross and not offset in the Statement of
Net Assets.
2 Securities or other assets pledged as collateral are noted in the Statement of Net Assets. Securities received as collateral are held in a
segregated account and not included in the fund’s security holdings in the Statement of Net Assets.
3 Net exposure represents the net amount receivable from the counterparty in the event of default. Counterparties may not exchange
collateral if amount is below a specified minimum transfer amount.

E. Distributions are determined on a tax basis and may differ from net investment income and realized capital gains for financial reporting purposes. Differences may be permanent or temporary. Permanent differences are reclassified among capital accounts in the financial statements to reflect their tax character. Temporary differences arise when certain items of income, expense, gain, or loss are recognized in different periods for financial statement and tax purposes. These differences will reverse at some time in the future. Differences in classification may also result from the treatment of short-term gains as ordinary income for tax purposes.

The fund had realized currency gains (included in accumulated net realized gains for financial reporting purposes) totaling $1,559,446,000 through October 31, 2016, which, as part of the fund’s currency hedge, are deferred for tax purposes. These currency gains are deferred until such time as they are used to offset other currency-related losses (primarily the currency component of unrealized losses on investment securities) that are not yet realized for financial reporting or tax purposes.

120


 

Total International Bond Index Fund

The fund’s tax-basis capital gains and losses are determined only at the end of each fiscal year. For tax purposes, at October 31, 2016, the fund had available capital losses totaling $86,997,000 that may be carried forward indefinitely to offset future net capital gains. The fund will use these capital losses to offset net taxable capital gains, if any, realized during the year ending October 31, 2017; should the fund realize net capital losses for the year, the losses will be added to the loss carryforward balance above.

At April 30, 2017, the cost of investment securities for tax purposes was $83,272,371,000. Net unrealized depreciation of investment securities for tax purposes was $1,315,335,000, consisting of unrealized gains of $1,387,368,000 on securities that had risen in value since their purchase and $2,702,703,000 in unrealized losses on securities that had fallen in value since their purchase.

F. During the six months ended April 30, 2017, the fund purchased $24,020,758,000 of investment securities and sold $7,421,420,000 of investment securities, other than U.S. government securities and temporary cash investments. Purchases and sales of U.S. government securities were $0 and $15,574,000, respectively.

G. Capital share transactions for each class of shares were:      
  Six Months Ended   Year Ended
    April 30, 2017 October 31, 2016
  Amount Shares Amount Shares
  ($000) (000) ($000) (000)
Investor Shares        
Issued 2,301,599 212,876 2,108,276 193,336
Issued in Lieu of Cash Distributions 259,908 24,032 296,154 27,276
Redeemed (187,635) (17,308) (2,081,194) (194,303)
Net Increase (Decrease)—Investor Shares 2,373,872 219,600 323,236 26,309
ETF Shares        
Issued 1,290,532 23,880 1,579,940 29,214
Issued in Lieu of Cash Distributions
Redeemed (5,472) (100) (38,555) (700)
Net Increase (Decrease)—ETF Shares 1,285,060 23,780 1,541,385 28,514
Admiral Shares        
Issued 10,941,077 504,823 8,538,026 392,361
Issued in Lieu of Cash Distributions 274,504 12,695 233,146 10,711
Redeemed (1,164,995) (53,846) (1,380,657) (63,407)
Net Increase (Decrease)—Admiral Shares 10,050,586 463,672 7,390,515 339,665
Institutional Shares        
Issued 5,647,058 174,601 4,076,304 124,528
Issued in Lieu of Cash Distributions 213,426 6,577 221,541 6,789
Redeemed (991,233) (30,692) (1,083,944) (33,609)
Net Increase (Decrease)—Institutional Shares 4,869,251 150,486 3,213,901 97,708

 

At April 30, 2017, several Vanguard funds and trusts managed by Vanguard or its affiliates were each a record or beneficial owner of the fund, and had combined ownership of 43% of the fund’s net assets.

H. Management has determined that no material events or transactions occurred subsequent to April 30, 2017, that would require recognition or disclosure in these financial statements.

121


 

About Your Fund’s Expenses

As a shareholder of the fund, you incur ongoing costs, which include costs for portfolio management, administrative services, and shareholder reports (like this one), among others. Operating expenses, which are deducted from a fund’s gross income, directly reduce the investment return of the fund.

A fund’s expenses are expressed as a percentage of its average net assets. This figure is known as the expense ratio. The following examples are intended to help you understand the ongoing costs (in dollars) of investing in your fund and to compare these costs with those of other mutual funds. The examples are based on an investment of $1,000 made at the beginning of the period shown and held for the entire period.

The accompanying table illustrates your fund’s costs in two ways:

• Based on actual fund return. This section helps you to estimate the actual expenses that you paid over the period. The ”Ending Account Value“ shown is derived from the fund‘s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period.

To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for your fund under the heading ”Expenses Paid During Period.“

• Based on hypothetical 5% yearly return. This section is intended to help you compare your fund‘s costs with those of other mutual funds. It assumes that the fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case—because the return used is not the fund’s actual return—the results do not apply to your investment. The example is useful in making comparisons because the Securities and Exchange Commission requires all mutual funds to calculate expenses based on a 5% return. You can assess your fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Note that the expenses shown in the table are meant to highlight and help you compare ongoing costs only and do not reflect transaction costs incurred by the fund for buying and selling securities. Further, the expenses do not include any purchase, redemption, or account service fees described in the fund prospectus. If such fees were applied to your account, your costs would be higher. Your fund does not carry a “sales load.”

The calculations assume no shares were bought or sold during the period. Your actual costs may have been higher or lower, depending on the amount of your investment and the timing of any purchases or redemptions.

You can find more information about the fund’s expenses, including annual expense ratios, in the Financial Statements section of this report. For additional information on operating expenses and other shareholder costs, please refer to your fund’s current prospectus.

122


 

Six Months Ended April 30, 2017      
  Beginning Ending Expenses
  Account Value Account Value Paid During
Total International Bond Index Fund 10/31/2016 4/30/2017 Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $997.28 $0.74
ETF Shares 1,000.00 997.34 0.59
Admiral Shares 1,000.00 997.46 0.59
Institutional Shares 1,000.00 997.71 0.35
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,024.05 $0.75
ETF Shares 1,000.00 1,024.20 0.60
Admiral Shares 1,000.00 1,024.20 0.60
Institutional Shares 1,000.00 1,024.45 0.35

 

The calculations are based on expenses incurred in the most recent six-month period. The fund’s annualized six-month expense ratios for that period are 0.15% for Investor Shares, 0.12% for ETF Shares, 0.12% for Admiral Shares, and 0.07% for Institutional Shares. The dollar amounts shown as “Expenses Paid” are equal to the annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent six-month period, then divided by the number of days in the most recent 12-month period (181/365).

123


 

Trustees Approve Advisory Arrangement

The board of trustees of Vanguard Total International Bond Index Fund has renewed the fund’s investment advisory arrangement with The Vanguard Group, Inc. (Vanguard)—through its Fixed Income Group. The board determined that continuing the fund’s internalized management structure was in the best interests of the fund and its shareholders.

The board based its decision upon an evaluation of the advisor’s investment staff, portfolio management process, and performance. This evaluation included information provided to the board by Vanguard’s Portfolio Review Department, which is responsible for fund and advisor oversight and product management. The Portfolio Review Department met regularly with the advisor and made monthly presentations to the board during the fiscal year that directed the board’s focus to relevant information and topics.

The board, or an investment committee made up of board members, also received information throughout the year during advisor presentations. For each advisor presentation, the board was provided with letters and reports that included information about, among other things, the advisory firm and the advisor’s assessment of the investment environment, portfolio performance, and portfolio characteristics.

In addition, the board received monthly reports, which included a Market and Economic Report, a Fund Dashboard Monthly Summary, and a Fund Performance Report.

Prior to their meeting, the trustees were provided with a memo and materials that summarized the information they received over the course of the year. They also considered the factors discussed below, among others. However, no single factor determined whether the board approved the arrangement. Rather, it was the totality of the circumstances that drove the board’s decision.

Nature, extent, and quality of services

The board reviewed the quality of the investment management services provided to the fund since its inception in 2013 and took into account the organizational depth and stability of the advisor. The board considered that Vanguard has been managing investments for more than three decades. The Fixed Income Group adheres to a sound, disciplined investment management process; the team has considerable experience, stability, and depth.

The board concluded that Vanguard’s experience, stability, depth, and performance, among other factors, warranted continuation of the advisory arrangement.

Investment performance

The board considered the performance of the fund since its inception in 2013, including any periods of outperformance or underperformance compared with its target index and peer group. The board concluded that the performance was such that the advisory arrangement should continue. Information about the fund’s performance can be found in the Performance Summary section of this report.

Cost

The board concluded that the fund’s expense ratio was well below the average expense ratio charged by funds in its peer group and that the fund’s advisory expenses were also well below its peer group average. Information about the fund’s expenses appears in the About Your Fund’s Expenses section of this report as well as in the Financial Statements section.

124


 

The board does not conduct a profitability analysis of Vanguard because of Vanguard’s unique “at-cost” structure. Unlike most other mutual fund management companies, Vanguard is owned by the funds it oversees and produces “profits” only in the form of reduced expenses for fund shareholders.

The benefit of economies of scale

The board concluded that the fund’s at-cost arrangement with Vanguard ensures that the fund will realize economies of scale as it grows, with the cost to shareholders declining as fund assets increase.

The board will consider whether to renew the advisory arrangement again after a one-year period.

125


 

Glossary

30-Day SEC Yield. A fund’s 30-day SEC yield is derived using a formula specified by the U.S. Securities and Exchange Commission. Under the formula, data related to the fund’s security holdings in the previous 30 days are used to calculate the fund’s hypothetical net income for that period, which is then annualized and divided by the fund’s estimated average net assets over the calculation period. For the purposes of this calculation, a security’s income is based on its current market yield to maturity (for bonds), its actual income (for asset-backed securities), or its projected dividend yield (for stocks). Because the SEC yield represents hypothetical annualized income, it will differ—at times significantly—from the fund’s actual experience. As a result, the fund’s income distributions may be higher or lower than implied by the SEC yield.

Average Coupon. The average interest rate paid on the fixed income securities held by a fund. It is expressed as a percentage of face value.

Average Duration. An estimate of how much the value of the bonds held by a fund will fluctuate in response to a change in interest rates. To see how the value could change, multiply the average duration by the change in rates. If interest rates rise by 1 percentage point, the value of the bonds in a fund with an average duration of five years would decline by about 5%. If rates decrease by a percentage point, the value would rise by 5%.

Average Effective Maturity. The average length of time until fixed income securities held by a fund reach maturity and are repaid, taking into consideration the possibility that the issuer may call the bond before its maturity date. The figure reflects the proportion of fund assets represented by each security; it also reflects any futures contracts held. In general, the longer the average effective maturity, the more a fund’s share price will fluctuate in response to changes in market interest rates.

Beta. A measure of the magnitude of a fund’s past share-price fluctuations in relation to the ups and downs of a given market index. The index is assigned a beta of 1.00. Compared with a given index, a fund with a beta of 1.20 typically would have seen its share price rise or fall by 12% when the index rose or fell by 10%. For this report, beta is based on returns over the past 36 months for both the fund and the index. Note that a fund’s beta should be reviewed in conjunction with its R-squared (see definition). The lower the R-squared, the less correlation there is between the fund and the index, and the less reliable beta is as an indicator of volatility.

Credit Quality. Credit-quality ratings are measured on a scale that generally ranges from AAA (highest) to D (lowest). U.S. Treasury, U.S. Agency, and U.S. Agency mortgage-backed securities appear under “U.S. Government.” Credit-quality ratings are obtained from Barclays and are from Moody’s, Fitch, and S&P. When ratings from all three agencies are used, the median rating is shown. When ratings from two of the agencies are used, the lower rating for each issue is shown. “Not Rated” is used to classify securities for which a rating is not available.

Expense Ratio. A fund’s total annual operating expenses expressed as a percentage of the fund’s average net assets. The expense ratio includes management and administrative expenses, but does not include the transaction costs of buying and selling portfolio securities.

Inception Date. The date on which the assets of a fund (or one of its share classes) are first invested in accordance with the fund’s investment objective. For funds with a subscription period, the inception date is the day after that period ends. Investment performance is measured from the inception date.

126


 

R-Squared. A measure of how much of a fund’s past returns can be explained by the returns from the market in general, as measured by a given index. If a fund’s total returns were precisely synchronized with an index’s returns, its R-squared would be 1.00. If the fund’s returns bore no relationship to the index’s returns, its R-squared would be 0. For this report, R-squared is based on returns over the past 36 months for both the fund and the index.

Short-Term Reserves. The percentage of a fund invested in highly liquid, short-term securities that can be readily converted to cash.

Yield to Maturity. The rate of return an investor would receive if the fixed income securities held by a fund were held to their maturity dates.

127


 

Vanguard Total International Bond Index Fund is not sponsored, endorsed, issued, sold, or promoted by Barclays Risk Analytics and Index Solutions Limited or any of its affiliates (“Barclays”). Barclays makes no representation or warranty, express or implied, to the owners or purchasers of Vanguard Total International Bond Index Fund or any member of the public regarding the advisability of investing in securities generally or in Vanguard Total International Bond Index Fund particularly or the ability of the Barclays Index to track general bond market performance. Barclays has not passed on the legality or suitability of Vanguard Total International Bond Index Fund with respect to any person or entity. Barclays’ only relationship to Vanguard and Vanguard Total International Bond Index Fund is the licensing of the Barclays Index, which is determined, composed, and calculated by Barclays without regard to Vanguard or Vanguard Total International Bond Index Fund or any owners or purchasers of Vanguard Total International Bond Index Fund. Barclays has no obligation to take the needs of Vanguard, Vanguard Total International Bond Index Fund, or the owners of Vanguard Total International Bond Index Fund into consideration in determining, composing, or calculating the Barclays Index. Barclays is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of Vanguard Total International Bond Index Fund to be issued. Barclays has no obligation or liability in connection with the administration, marketing, or trading of Vanguard Total International Bond Index Fund.

BARCLAYS SHALL HAVE NO LIABILITY TO THIRD PARTIES FOR THE QUALITY, ACCURACY, AND/OR COMPLETENESS OF THE INDEX OR ANY DATA INCLUDED THEREIN OR FOR INTERRUPTIONS IN THE DELIVERY OF THE INDEX. BARCLAYS MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY OWNERS OF VANGUARD TOTAL INTERNATIONAL BOND INDEX FUND OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE INDEX OR ANY DATA INCLUDED THEREIN IN CONNECTION WITH THE RIGHTS LICENSED HEREUNDER OR FOR ANY OTHER USE. BARCLAYS RESERVES THE RIGHT

TO CHANGE THE METHODS OF CALCULATION OR PUBLICATION, OR TO CEASE THE CALCULATION OR PUBLICATION OF THE BLOOMBERG BARCLAYS GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED), AND BARCLAYS SHALL NOT BE LIABLE FOR ANY MISCALCULATION OF OR ANY INCORRECT, DELAYED, OR INTERRUPTED PUBLICATION WITH RESPECT TO THE BLOOMBERG BARCLAYS GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED). BARCLAYS MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND HEREBY EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE INDEX OR ANY DATA INCLUDED THEREIN. BARCLAYS SHALL NOT BE LIABLE FOR ANY DAMAGES, INCLUDING, WITHOUT LIMITATION, ANY INDIRECT OR CONSEQUENTIAL DAMAGES RESULTING FROM THE USE OF THE INDEX OR ANY DATA INCLUDED THEREIN.

© 2017 Barclays. Used with Permission.

Source: Barclays Global Family of Indices. Copyright 2017, Barclays. All rights reserved.

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The People Who Govern Your Fund

The trustees of your mutual fund are there to see that the fund is operated and managed in your best interests since, as a shareholder, you are a part owner of the fund. Your fund’s trustees also serve on the board of directors of The Vanguard Group, Inc., which is owned by the Vanguard funds and provides services to them on an at-cost basis.

A majority of Vanguard’s board members are independent, meaning that they have no affiliation with Vanguard or the funds they oversee, apart from the sizable personal investments they have made as private individuals. The independent board members have distinguished backgrounds in business, academia, and public service. Each of the trustees and executive officers oversees 197 Vanguard funds.

The following table provides information for each trustee and executive officer of the fund. The mailing address of the trustees and officers is P.O. Box 876, Valley Forge, PA 19482. More information about the trustees is in the Statement of Additional Information, which can be obtained, without charge, by contacting Vanguard at 800-662-7447, or online at vanguard.com.

InterestedTrustee1

F. William McNabb III

Born 1957. Trustee Since July 2009. Chairman of the Board. Principal Occupation(s) During the Past Five Years and Other Experience: Chairman of the Board of The Vanguard Group, Inc., and of each of the investment companies served by The Vanguard Group, since January 2010; Director of The Vanguard Group since 2008; Chief Executive Officer and President of The Vanguard Group, and of each of the investment companies served by The Vanguard Group, since 2008; Director of Vanguard Marketing Corporation; Managing Director of The Vanguard Group (1995–2008).

IndependentTrustees

Emerson U. Fullwood

Born 1948. Trustee Since January 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Executive Chief Staff and Marketing Officer for North America and Corporate Vice President (retired 2008) of Xerox Corporation (document management products and services); Executive in Residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology; Lead Director of SPX FLOW, Inc. (multi-industry manufacturing); Director of the United Way of Rochester, the University of Rochester Medical Center, Monroe Community College Foundation, North Carolina A&T University, and Roberts Wesleyan College.

Rajiv L. Gupta

Born 1945. Trustee Since December 2001.2 Principal Occupation(s) During the Past Five Years and Other Experience: Chairman and Chief Executive Officer (retired 2009) and President (2006–2008) of Rohm and Haas Co. (chemicals); Director of Arconic Inc. (diversified manufacturer), HP Inc. (printer and personal computer manufacturing), and Delphi Automotive plc (automotive components); Senior Advisor at New Mountain Capital.

Amy Gutmann

Born 1949. Trustee Since June 2006. Principal Occupation(s) During the Past Five Years and Other Experience: President of the University of Pennsylvania; Christopher H. Browne Distinguished Professor of Political Science, School of Arts and Sciences, and Professor of Communication, Annenberg School for Communication, with secondary faculty appointments in the Department of Philosophy, School of Arts and Sciences, and at the Graduate School of Education, University of Pennsylvania; Trustee of the National Constitution Center; Chair of the Presidential Commission for the Study of Bioethical Issues.

JoAnn Heffernan Heisen

Born 1950. Trustee Since July 1998. Principal Occupation(s) During the Past Five Years and Other Experience: Corporate Vice President and Member of the Executive Committee (1997–2008), Chief Global Diversity Officer (retired 2008), Vice President and Chief Information Officer (1997–2005), Controller (1995–1997), Treasurer (1991–1995), and Assistant Treasurer (1989–1991) of Johnson & Johnson (pharmaceuticals/medical devices/consumer products); Director of Skytop Lodge Corporation (hotels) and the Robert Wood Johnson Foundation; Member of the Advisory Board of the Institute for Women’s Leadership at Rutgers University.

F. Joseph Loughrey

Born 1949. Trustee Since October 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2009) of Cummins Inc. (industrial machinery); Chairman of the Board of Hillenbrand, Inc. (specialized consumer services), Oxfam America, and the Lumina Foundation for Education; Director of SKF AB (industrial machinery), Hyster-Yale Materials Handling, Inc. (forklift trucks), and the V Foundation for Cancer Research; Member of the Advisory Council for the College of Arts and Letters and Chair of the Advisory


 

Board to the Kellogg Institute for International Studies, both at the University of Notre Dame.

Mark Loughridge

Born 1953. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Senior Vice President and Chief Financial Officer (retired 2013) at IBM (information technology services); Fiduciary Member of IBM’s Retirement Plan Committee (2004–2013); Director of the Dow Chemical Company; Member of the Council on Chicago Booth.

Scott C. Malpass

Born 1962. Trustee Since March 2012. Principal Occupation(s) During the Past Five Years and Other Experience: Chief Investment Officer and Vice President at the University of Notre Dame; Assistant Professor of Finance at the Mendoza College of Business at Notre Dame; Member of the Notre Dame 403(b) Investment Committee, the Board of Advisors for Spruceview Capital Partners, and the Investment Advisory Committee of Major League Baseball; Board Member of TIFF Advisory Services, Inc., and Catholic Investment Services, Inc. (investment advisors); Member of the Board of Superintendence of the Institute for the Works of Religion.

André F. Perold

Born 1952. Trustee Since December 2004. Principal Occupation(s) During the Past Five Years and Other Experience: George Gund Professor of Finance and Banking, Emeritus at the Harvard Business School (retired 2011); Chief Investment Officer and Co-Managing Partner of HighVista Strategies LLC (private investment firm); Overseer of the Museum of Fine Arts Boston.

Peter F. Volanakis

Born 1955. Trustee Since July 2009. Principal Occupation(s) During the Past Five Years and Other Experience: President and Chief Operating Officer (retired 2010) of Corning Incorporated (communications equipment); Chairman of the Board of Trustees of Colby-Sawyer College; Member of the Board of Hypertherm, Inc. (industrial cutting systems, software, and consumables).

Executive Officers

Glenn Booraem

Born 1967. Investment Stewardship Officer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Treasurer (2015–2017), Controller (2010–2015), and Assistant Controller (2001–2010) of each of the investment companies served by The Vanguard Group.

Thomas J. Higgins

Born 1957. Chief Financial Officer Since September 2008. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Chief Financial Officer of each of the investment companies served by The Vanguard Group; Treasurer of each of the investment companies served by The Vanguard Group (1998–2008).

Peter Mahoney

Born 1974. Controller Since May 2015. Principal Occupation(s) During the Past Five Years and Other Experience: Principal of The Vanguard Group, Inc.; Controller of each of the investment companies served by The Vanguard Group; Head of International Fund Services at The Vanguard Group (2008–2014).

Anne E. Robinson

Born 1970. Secretary Since September 2016. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; General Counsel of The Vanguard Group; Secretary of The Vanguard Group and of each of the investment companies served by The Vanguard Group; Director and Senior Vice President of Vanguard Marketing Corporation; Managing Director and General Counsel of Global Cards and Consumer Services at Citigroup (2014–2016); Counsel at American Express (2003–2014).

Michael Rollings

Born 1963. Treasurer Since February 2017. Principal Occupation(s) During the Past Five Years and Other Experience: Managing Director of The Vanguard Group, Inc.; Treasurer of each of the investment companies served by The Vanguard Group; Executive Vice President and Chief Financial Officer of MassMutual Financial Group (2006–2016).

Vanguard Senior ManagementTeam
Mortimer J. Buckley James M. Norris
John James Thomas M. Rampulla
Martha G. King Glenn W. Reed
John T. Marcante Karin A. Risi
Chris D. McIsaac  

 

Chairman Emeritus and Senior Advisor
John J. Brennan
Chairman, 1996–2009
Chief Executive Officer and President, 1996–2008

Founder
John C. Bogle
Chairman and Chief Executive Officer, 1974–1996

1 Mr. McNabb is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.

2 December 2002 for Vanguard Equity Income Fund, the Vanguard Municipal Bond Funds, and the Vanguard State Tax-Exempt Funds.


 

  P.O. Box 2600
  Valley Forge, PA 19482-2600
 
 
 
Connect with Vanguard® > vanguard.com  
 
 
 
Fund Information > 800-662-7447  
Direct Investor Account Services > 800-662-2739  
Institutional Investor Services > 800-523-1036  
Text Telephone for People  
Who Are Deaf or Hard of Hearing> 800-749-7273  
 
This material may be used in conjunction  
with the offering of shares of any Vanguard  
fund only if preceded or accompanied by  
the fund’s current prospectus.  
 
All comparative mutual fund data are from Lipper, a  
Thomson Reuters Company, or Morningstar, Inc., unless  
otherwise noted.  
 
You can obtain a free copy of Vanguard’s proxy voting  
guidelines by visiting vanguard.com/proxyreporting or by  
calling Vanguard at 800-662-2739. The guidelines are  
also available from the SEC’s website, sec.gov. In  
addition, you may obtain a free report on how your fund  
voted the proxies for securities it owned during the 12  
months ended June 30. To get the report, visit either  
vanguard.com/proxyreporting or sec.gov.  
 
You can review and copy information about your fund at  
the SEC’s Public Reference Room in Washington, D.C. To  
find out more about this public service, call the SEC at  
202-551-8090. Information about your fund is also  
available on the SEC’s website, and you can receive  
copies of this information, for a fee, by sending a  
request in either of two ways: via email addressed to  
publicinfo@sec.gov or via regular mail addressed to the  
Public Reference Section, Securities and Exchange  
Commission, Washington, DC 20549-1520.  
 
  © 2017 The Vanguard Group, Inc.
  All rights reserved.
  Vanguard Marketing Corporation, Distributor.
 
  Q12312 062017

 

 


Item 2: Code of Ethics. The Registrant has adopted a code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller or persons performing similar functions. The Code of Ethics was amended during the reporting period covered by this report to make certain technical, non-material changes.

Item 3: Audit Committee Financial Expert.

Not Applicable.

Item 4: Principal Accountant Fees and Services.

(a) Audit Fees.

Not Applicable.

Item 5: Audit Committee of Listed Registrants.

Not Applicable.

Item 6: Investments.

Not Applicable.

Item 7: Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

Not Applicable.

Item 8: Portfolio Managers of Closed-End Management Investment Companies.

Not Applicable.

Item 9: Purchase of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

Not Applicable.

Item 10: Submission of Matters to a Vote of Security Holders.

Not Applicable.

Item 11: Controls and Procedures.

     (a) Disclosure Controls and Procedures. The Principal Executive and Financial Officers concluded that the Registrant’s Disclosure Controls and Procedures are effective based on their evaluation of the Disclosure Controls and Procedures as of a date within 90 days of the filing date of this report.

     (b) Internal Control Over Financial Reporting. There were no significant changes in Registrant’s Internal Control Over Financial Reporting or in other factors that could significantly affect this control subsequent to the date of the evaluation, including any corrective actions with regard to significant deficiencies and material weaknesses.


 

Item 12: Exhibits.

(a) Certifications.

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

  VANGUARD CHARLOTTE FUNDS
 
By: /s/ F. WILLIAM MCNABB III*
  F. WILLIAM MCNABB III
  CHIEF EXECUTIVE OFFICER
 
Date: June 15, 2017

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

  VANGUARD CHARLOTTE FUNDS
 
By: /s/ F. WILLIAM MCNABB III*
  F. WILLIAM MCNABB III
  CHIEF EXECUTIVE OFFICER
 
Date: June 15, 2017

 

  VANGUARD CHARLOTTE FUNDS
 
By: /s/ THOMAS J. HIGGINS*
  THOMAS J. HIGGINS
  CHIEF FINANCIAL OFFICER
 
Date: June 15, 2017

 

* By: /s/ Anne E. Robinson

Anne E. Robinson, pursuant to a Power of Attorney filed on October 4, 2016 see file Number 33-32548, Incorporated by Reference.