N-CSR 1 tm2134327d2_ncsr.htm N-CSR

 

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: November 1, 2020—October 31, 2021

 

 

 

Item 1: Reports to Shareholders

 

 

 

Annual Report   |   October 31, 2021
Vanguard Total International Bond Index Fund


Contents
Your Fund’s Performance at a Glance

1
About Your Fund’s Expenses

2
Performance Summary

4
Financial Statements

7
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.


Your Fund’s Performance at a Glance
For the 12 months ended October 31, 2021, the returns of Vanguard Total International Bond Index Fund ranged from –1.97% for Investor Shares to –1.92% for Institutional and ETF Shares (based on net asset value), roughly in line with the –1.88% return of its expense-free benchmark index.
Bond yields moved higher across much of the developed world during the fiscal year amid concerns about inflation and the prospect that some developed-market central banks might scale back their bond-buying programs or raise interest rates.
In general, developed bond markets depressed performance, with French, Australian, and Canadian issues lagging behind. Japanese issues, the largest in the benchmark by weight, recorded slightly positive total returns but could not lift the overall performance of the index into positive territory.
The fund regularly uses derivatives to hedge portfolio risks. Its holdings of forward currency contracts detracted from performance for the period.
At period-end, the fund’s 30-day SEC yield—a proxy for its income-generating potential over 12 months—ranged from 0.55% for Investor Shares to 0.63% for ETF Shares.
Market Barometer
  Average Annual Total Returns
Periods Ended October 31, 2021
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 43.51% 22.01% 19.16%
Russell 2000 Index (Small-caps) 50.80 16.47 15.52
Russell 3000 Index (Broad U.S. market) 43.90 21.62 18.91
FTSE All-World ex US Index (International) 30.23 12.42 10.05
Bonds      
Bloomberg U.S. Aggregate Bond Index
(Broad taxable market)
-0.48% 5.63% 3.10%
Bloomberg Municipal Bond Index
(Broad tax-exempt market)
2.64 5.17 3.41
FTSE Three-Month U.S. Treasury Bill Index 0.05 1.08 1.12
CPI      
Consumer Price Index 6.22% 3.03% 2.73%
1


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.
2


Six Months Ended October 31, 2021      
  Beginning
Account Value
4/30/2021
Ending
Account Value
10/31/2021
Expenses
Paid During
Period
Based on Actual Fund Return      
Total International Bond Index Fund      
Investor Shares $1,000.00 $999.50 $0.66
ETF Shares 1,000.00 999.80 0.30
Admiral™ Shares 1,000.00 999.50 0.55
Institutional Shares 1,000.00 999.80 0.35
Based on Hypothetical 5% Yearly Return      
Total International Bond Index Fund      
Investor Shares $1,000.00 $1,024.55 $0.66
ETF Shares 1,000.00 1,024.90 0.31
Admiral Shares 1,000.00 1,024.65 0.56
Institutional Shares 1,000.00 1,024.85 0.36
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 0.13% for Investor Shares, 0.06% for ETF Shares, 0.11% 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 (184/365).
3


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.
Cumulative Performance: May 31, 2013, Through October 31, 2021
Initial Investment of $10,000
    Average Annual Total Returns
Periods Ended October 31, 2021
 
    One
Year
Five
Years
Since
Inception
(5/31/2013)
Final Value
of a $10,000
Investment
 Total International Bond Index Fund Investor Shares -1.97% 2.79% 3.43% $13,287
 Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index Hedged -1.88 2.99 3.69 13,563
“Since Inception” performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standard(s).
       
    One
Year
Five
Years
Since
Inception
(5/31/2013)
Final Value
of a $10,000
Investment
Total International Bond Index Fund
ETF Shares Net Asset Value
-1.92% 2.83% 3.48% $13,333
Total International Bond Index Fund ETF Shares Market Price -1.84 2.80 3.50 13,355
Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index Hedged -1.88 2.99 3.69 13,563
“Since Inception” performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard(s).
See Financial Highlights for dividend and capital gains information.
4


Total International Bond Index Fund
    Average Annual Total Returns
Periods Ended October 31, 2021
 
    One
Year
Five
Years
Since
Inception
(5/31/2013)
Final Value
of a $10,000
Investment
Total International Bond Index Fund
Admiral Shares
-1.96% 2.81% 3.46% $13,320
Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index Hedged -1.88 2.99 3.69 13,563
“Since Inception” performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standard(s).
       
    One
Year
Five
Years
Since
Inception
(5/31/2013)
Final Value
of a $5,000,000
Investment
Total International Bond Index Fund
Institutional Shares
-1.92% 2.85% 3.51% $6,687,774
Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index Hedged -1.88 2.99 3.69 6,781,430
“Since Inception” performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standard(s).
Cumulative Returns of ETF Shares: May 31, 2013, Through October 31, 2021
  One
Year
Five
Years
Since
Inception
(5/31/2013)
Total International Bond Index Fund ETF Shares Market Price -1.84% 14.81% 33.55%
Total International Bond Index Fund ETF Shares Net Asset Value -1.92 15.00 33.33
Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index Hedged -1.88 15.87 35.63
“Since Inception” performance is calculated from the ETF Shares’ inception date for both the fund and its comparative standard(s).
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.
5


Total International Bond Index Fund
Fund Allocation
As of October 31, 2021
Japan 16.7%
France 12.1
Germany 10.4
Italy 7.9
United Kingdom 7.2
Canada 6.1
Spain 5.6
Supranational 3.9
Australia 3.3
United States 3.2
Netherlands 2.7
South Korea 2.7
Belgium 2.2
Switzerland 1.4
Sweden 1.4
Austria 1.4
Indonesia 1.0
Other 10.8
The table reflects the fund’s investments, except for short-term investments and derivatives.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
6


Total International Bond Index Fund
Financial Statements
Schedule of Investments
As of October 31, 2021
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value
($000)
U.S. Government and Agency Obligations (0.0%)    
  Tennessee Valley Authority (Cost$1,702)  5.625%   6/7/32 GBP           954            1,806
Asset-Backed/Commercial Mortgage-Backed Securities (0.0%)    
United Kingdom (0.0%)                              
1 Canary Wharf Finance II plc (Cost$2)  6.455% 10/22/33 GBP             1            2
Corporate Bonds (20.2%)      
Australia (0.5%)                              
  Amcor UK Finance plc  1.125%  6/23/27 EUR         3,409       4,065
  Ampol Ltd.  4.000%  4/17/25 AUD         9,610       7,546
  APT Pipelines Ltd.  4.250% 11/26/24 GBP           681       1,007
  APT Pipelines Ltd.  2.000%  3/22/27 EUR         5,727       7,125
  APT Pipelines Ltd.  1.250%  3/15/33 EUR         4,235       4,786
  APT Pipelines Ltd.  2.500%  3/15/36 GBP         6,929       9,347
  Aurizon Network Pty Ltd.  4.000%  6/21/24 AUD         1,290       1,013
  Aurizon Network Pty Ltd.  2.000%  9/18/24 EUR         2,045       2,491
  Ausgrid Finance Pty Ltd.  3.750% 10/30/24 AUD         9,730       7,641
  Ausgrid Finance Pty Ltd.  1.250%  7/30/25 EUR         2,250       2,688
  Ausgrid Finance Pty Ltd.  1.814%   2/5/27 AUD         1,360         967
  AusNet Services Holdings Pty Ltd.  3.000%  2/13/24 EUR         2,727       3,363
  AusNet Services Holdings Pty Ltd.  1.500%  2/26/27 EUR         3,068       3,738
  AusNet Services Holdings Pty Ltd.  4.400%  8/16/27 AUD           880         721
  AusNet Services Holdings Pty Ltd.  4.200%  8/21/28 AUD         1,900       1,543
  AusNet Services Holdings Pty Ltd.  2.600%  7/31/29 AUD         4,230       3,066
  AusNet Services Holdings Pty Ltd.  1.625%  3/11/81 EUR         8,386       9,704
  Australia & New Zealand Banking Group Ltd.  0.625%  2/21/23 EUR         6,818       7,981
  Australia & New Zealand Banking Group Ltd.  3.350%   5/9/23 AUD           400         311
  Australia & New Zealand Banking Group Ltd.  5.000%  8/16/23 AUD         3,750       3,014
  Australia & New Zealand Banking Group Ltd.  0.450% 11/22/23 EUR        10,909      12,770
  Australia & New Zealand Banking Group Ltd.  2.500%  1/16/24 EUR         3,409       4,169
  Australia & New Zealand Banking Group Ltd.  3.100%   2/8/24 AUD         9,420       7,337
  Australia Pacific Airports Melbourne Pty Ltd.  3.125%  9/26/23 EUR         3,409       4,169
  Australia Pacific Airports Melbourne Pty Ltd.  1.750% 10/15/24 EUR         9,545      11,444
  BHP Billiton Finance Ltd.  3.230%  5/15/23 CAD         2,830       2,347
  BHP Billiton Finance Ltd.  3.250%  9/24/27 EUR        11,249      15,164
  BHP Billiton Finance Ltd.  1.500%  4/29/30 EUR         3,478       4,264
  BHP Billiton Finance Ltd.  3.125%  4/29/33 EUR         2,045       2,884
  BHP Billiton Finance Ltd.  4.300%  9/25/42 GBP           801       1,475
  Brambles Finance Ltd.  2.375%  6/12/24 EUR           400         488
7


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Brisbane Airport Corp Pty Ltd.  3.900%  4/24/25 AUD         2,590       2,021
  Coles Group Treasury Pty Ltd.  2.650%  11/6/29 AUD         3,500       2,541
  Coles Group Treasury Pty Ltd.  2.100%  8/27/30 AUD         2,500       1,707
  Commonwealth Bank of Australia  2.750% 11/17/21 AUD         2,000       1,506
  Commonwealth Bank of Australia  3.250%  4/25/23 AUD           800         621
  Commonwealth Bank of Australia  3.200%  8/16/23 AUD           600         467
  Commonwealth Bank of Australia  3.000%  1/11/24 AUD        11,930       9,272
  Commonwealth Bank of Australia  0.375%  4/11/24 EUR         8,250       9,655
  Commonwealth Bank of Australia  0.500%  7/27/26 EUR         4,435       5,229
  Commonwealth Bank of Australia  3.000%   9/4/26 GBP         4,568       6,774
  Commonwealth Bank of Australia  0.875%  2/19/29 EUR         6,818       8,229
  Commonwealth Bank of Australia  1.936%  10/3/29 EUR         8,681      10,449
  Commonwealth Bank of Australia  1.625%  2/10/31 EUR           100         129
  CPIF Finance Pty Ltd.  2.485% 10/28/30 AUD         3,000       2,084
  DBNGP Finance Co. Pty Ltd.  4.225%  5/28/25 AUD         1,960       1,560
  DEXUS Finance Pty Ltd.  3.000%   2/3/32 AUD         2,500       1,802
  ETSA Utilities Finance Pty Ltd.  3.500%  8/29/24 AUD           790         620
  GAIF Bond Issuer Pty Ltd.  1.900% 12/14/28 AUD         3,350       2,356
  Glencore Capital Finance DAC  1.125%  3/10/28 EUR        10,773      12,537
  Glencore Capital Finance DAC  1.250%   3/1/33 EUR         6,000       6,618
  Glencore Finance Europe Ltd.  1.875%  9/13/23 EUR           300         357
  Glencore Finance Europe Ltd.  1.750%  3/17/25 EUR         3,614       4,344
  Glencore Finance Europe Ltd.  3.750%   4/1/26 EUR           200         261
  Glencore Finance Europe Ltd.  1.500% 10/15/26 EUR           300         359
  Goodman Australia Finance Pty Ltd.  1.375%  9/27/25 EUR         2,727       3,264
  GTA Finance Co Pty Ltd.  2.200%  8/26/27 AUD         4,000       2,870
  Lendlease Finance Ltd.  3.700%  3/31/31 AUD         4,000       2,974
  Lonsdale Finance Pty Ltd.  3.900% 10/15/25 AUD         3,420       2,718
  Lonsdale Finance Pty Ltd.  2.100% 10/15/27 AUD         2,000       1,436
  Macquarie Group Ltd.  1.250%   3/5/25 EUR        10,909      12,958
  Macquarie Group Ltd.  0.350%   3/3/28 EUR         8,470       9,588
  Macquarie Group Ltd.  2.723%  8/21/29 CAD         2,000       1,580
  Macquarie Group Ltd.  0.950%  5/21/31 EUR         3,000       3,421
  National Australia Bank Ltd.  0.875% 11/16/22 EUR         3,409       3,993
  National Australia Bank Ltd.  1.875%  1/13/23 EUR         3,409       4,046
  National Australia Bank Ltd.  0.250%  1/19/23 CHF         1,770       1,948
  National Australia Bank Ltd.  3.000%  2/10/23 AUD         1,432       1,106
  National Australia Bank Ltd.  0.625%  8/30/23 EUR           100         117
  National Australia Bank Ltd.  2.900%  2/26/24 AUD        11,113       8,621
  National Australia Bank Ltd.  5.000%  3/11/24 AUD         4,500       3,667
  National Australia Bank Ltd.  0.250%  5/20/24 EUR         6,818       7,952
  National Australia Bank Ltd.  2.250%   6/6/25 EUR         1,227       1,532
  National Australia Bank Ltd.  0.300% 10/31/25 CHF         6,745       7,433
  National Australia Bank Ltd.  3.000%   9/4/26 GBP           500         741
  National Australia Bank Ltd.  0.875%  2/19/27 EUR         6,818       8,186
  National Australia Bank Ltd.  3.515%  6/12/30 CAD         5,590       4,658
  National Australia Bank Ltd.  1.699%  9/15/31 GBP         3,000       3,994
  NBN Co. Ltd.  2.200% 12/16/30 AUD         5,000       3,398
  NSW Electricity Networks Finance Pty Ltd.  2.732%  4/23/29 AUD         3,000       2,149
  Optus Finance Pty Ltd.  3.250%   9/6/23 AUD           550         427
  Origin Energy Finance Ltd.  1.000%  9/17/29 EUR         3,478       3,923
  Pacific National Finance Pty Ltd.  5.000%  9/19/23 GBP           500         724
  Qantas Airways Ltd.  2.950% 11/27/29 AUD         1,000         687
  Qantas Airways Ltd.  5.250%   9/9/30 AUD         3,400       2,728
  Scentre Group Trust 1  2.250%  7/16/24 EUR         2,658       3,241
8


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Scentre Group Trust 1  3.875%  7/16/26 GBP         4,773       7,167
  Scentre Group Trust 1 / Scentre Group Trust 2  1.375%  3/22/23 EUR         3,409       4,010
  Scentre Group Trust 1 / Scentre Group Trust 2  1.750%  4/11/28 EUR         6,137       7,597
  Scentre Group Trust 1 / Scentre Group Trust 2  1.450%  3/28/29 EUR         6,409       7,785
  Scentre Group Trust 2  3.250%  9/11/23 EUR         4,277       5,253
  SGSP Australia Assets Pty Ltd.  3.750%  6/28/23 AUD           800         626
  Stockland Trust  1.625%  4/27/26 EUR         5,200       6,322
  Suncorp-Metway Ltd.  3.000%  9/13/23 AUD         1,600       1,242
  Suncorp-Metway Ltd.  3.250%  8/24/26 AUD           800         631
  Telstra Corp. Ltd.  2.500%  9/15/23 EUR         6,818       8,269
  Telstra Corp. Ltd.  1.125%  4/14/26 EUR         7,841       9,414
  Telstra Corp. Ltd.  4.000%  4/19/27 AUD         1,360       1,103
  Telstra Corp. Ltd.  1.375%  3/26/29 EUR         1,694       2,072
  Telstra Corp. Ltd.  1.000%  4/23/30 EUR         3,409       4,054
  Toyota Finance Australia Ltd.  0.500%   4/6/23 EUR           750         876
  Toyota Finance Australia Ltd.  3.300% 11/22/23 AUD           443         346
  Toyota Finance Australia Ltd.  2.280% 10/21/27 EUR        10,227      13,148
  Transurban Finance Co. Pty Ltd.  1.875%  9/16/24 EUR         2,045       2,476
  Transurban Finance Co. Pty Ltd.  4.555% 11/14/28 CAD         1,694       1,502
  Transurban Finance Co. Pty Ltd.  3.000%   4/8/30 EUR         6,137       8,255
  Transurban Queensland Finance Pty Ltd.  3.250%   8/5/31 AUD         2,900       2,103
  United Energy Distribution Pty Ltd.  3.500%  9/12/23 AUD           560         434
  United Energy Distribution Pty Ltd.  3.850% 10/23/24 AUD         2,070       1,642
  University of Technology Sydney  3.750%  7/20/27 AUD           300         241
  Vicinity Centres Trust  3.375%   4/7/26 GBP           858       1,259
  WestConnex Finance Co. Pty Ltd.  3.150%  3/31/31 AUD         4,500       3,234
  Westpac Banking Corp.  2.750%  8/31/22 AUD         9,000       6,900
  Westpac Banking Corp.  2.625% 12/14/22 GBP         1,568       2,187
  Westpac Banking Corp.  0.375%   3/5/23 EUR         5,455       6,363
  Westpac Banking Corp.  0.320%   7/6/23 JPY     1,900,000      16,715
  Westpac Banking Corp.  3.250% 11/16/23 AUD           600         469
  Westpac Banking Corp.  5.250% 11/21/23 AUD         2,400       1,949
  Westpac Banking Corp.  0.500%  12/4/23 EUR        14,205      16,655
  Westpac Banking Corp.  3.000%  4/24/24 AUD           700         545
  Westpac Banking Corp.  0.500%  5/17/24 EUR         1,705       2,000
  Westpac Banking Corp.  0.625% 11/22/24 EUR         3,409       4,016
  Westpac Banking Corp.  4.125%   6/4/26 AUD         1,100         897
  Westpac Banking Corp.  0.875%  4/17/27 EUR           200         238
  Westpac Banking Corp.  1.125%   9/5/27 EUR         7,568       9,157
  Westpac Banking Corp.  1.450%  7/17/28 EUR           644         794
  Westpac Banking Corp.  1.375%  5/17/32 EUR         6,818       8,668
  Woolworths Group Ltd.  2.800%  5/20/30 AUD         9,820       7,125
  WSO Finance Pty Ltd.  4.500%  3/31/27 AUD         2,350       1,937
                   543,882
Austria (0.2%)                              
  BAWAG PSK Bank fuer Arbeit und Wirtschaft und Oesterreichische Postsparkasse AG  0.375%   9/3/27 EUR         4,700       5,333
  BAWAG PSK Bank fuer Arbeit und Wirtschaft und Oesterreichische Postsparkasse AG  0.010%  10/2/29 EUR         7,600       8,645
  Borealis AG  1.750% 12/10/25 EUR           300         367
  Erste Group Bank AG  0.625%  1/19/23 EUR         2,800       3,276
  Erste Group Bank AG  0.750%   2/5/25 EUR         1,700       2,017
  Erste Group Bank AG  0.625%  4/17/26 EUR        10,200      12,109
  Erste Group Bank AG  0.750%  1/17/28 EUR        10,900      13,094
  Erste Group Bank AG  0.875%  5/15/34 EUR        10,200      12,494
9


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
2 Heta Asset Resolution AG  2.375% 12/13/22 EUR         2,000       2,380
  HYPO NOE Landesbank fuer Niederoesterreich und Wien AG  0.500%   9/4/25 EUR         3,400       4,005
  JAB Holdings BV  2.125%  9/16/22 EUR         2,000       2,361
  JAB Holdings BV  1.750%  5/25/23 EUR         3,000       3,574
  JAB Holdings BV  1.250%  5/22/24 EUR         6,900       8,208
  JAB Holdings BV  1.750%  6/25/26 EUR         9,500      11,565
  JAB Holdings BV  2.500%  4/17/27 EUR         3,400       4,299
  JAB Holdings BV  2.500%  6/25/29 EUR         7,600       9,690
  JAB Holdings BV  2.250% 12/19/39 EUR         6,900       8,335
  Mondi Finance plc  1.500%  4/15/24 EUR         7,875       9,393
2 OeBB-Infrastruktur AG  2.250%   7/4/23 EUR         6,818       8,225
2 OeBB-Infrastruktur AG  1.000% 11/18/24 EUR         8,181       9,771
2 OeBB-Infrastruktur AG  3.875%  6/30/25 EUR         6,818       9,012
2 OeBB-Infrastruktur AG  3.500% 10/19/26 EUR         1,227       1,659
2 OeBB-Infrastruktur AG  2.250%  5/28/29 EUR         2,045       2,720
2 OeBB-Infrastruktur AG  3.375%  5/18/32 EUR         4,773       7,209
2 OeBB-Infrastruktur AG  3.000% 10/24/33 EUR           150         225
  OMV AG  0.750%  12/4/23 EUR         1,705       2,007
  OMV AG  1.000% 12/14/26 EUR         2,352       2,820
  OMV AG  3.500%  9/27/27 EUR         1,900       2,609
  OMV AG  1.875%  12/4/28 EUR         1,500       1,902
  OMV AG  2.375%   4/9/32 EUR        10,224      13,695
  OMV AG  6.250% 12/29/49 EUR         2,250       3,133
  OMV AG  2.875% 12/31/99 EUR         4,700       5,661
  Raiffeisenlandesbank Niederoesterreich-Wien AG  0.625%   3/3/25 EUR           300         354
  Raiffeisenlandesbank Niederoesterreich-Wien AG  0.625%  8/28/26 EUR         3,400       4,035
  Raiffeisenlandesbank Niederoesterreich-Wien AG  0.875%  1/24/28 EUR         2,000       2,417
  Raiffeisenlandesbank Niederoesterreich-Wien AG  0.875%  1/30/29 EUR         8,200       9,947
  Raiffeisen-Landesbank Steiermark AG  0.625%  1/20/23 EUR         2,500       2,924
  Raiffeisen-Landesbank Steiermark AG  2.375%  6/14/28 EUR           300         397
  Raiffeisen-Landesbank Steiermark AG  1.375%  5/11/33 EUR         3,400       4,362
  Raiffeisenlandesbank Vorarlberg Waren-und Revisionsverband registrierte GenmbH  0.500%  9/17/25 EUR         3,400       3,998
  Telekom Finanzmanagement GmbH  3.125%  12/3/21 EUR         1,461       1,694
  UniCredit Bank Austria AG  2.375%  1/22/24 EUR         3,500       4,275
  UniCredit Bank Austria AG  0.750%  2/25/25 EUR           500         593
  UniCredit Bank Austria AG  0.250%   6/4/27 EUR         6,800       7,928
  UNIQA Insurance Group AG  6.875%  7/31/43 EUR         1,000       1,285
  UNIQA Insurance Group AG  6.000%  7/27/46 EUR         2,100       2,983
  Vienna Insurance Group AG Wiener Versicherung Gruppe  5.500%  10/9/43 EUR         1,000       1,272
                   240,257
Belgium (0.3%)                              
  AG Insurance SA  3.500%  6/30/47 EUR         4,700       6,142
  Ageas SA NV  3.250%   7/2/49 EUR         6,900       8,900
  Anheuser-Busch InBev Finance Inc.  4.320%  5/15/47 CAD         6,109       5,192
  Anheuser-Busch InBev SA NV  9.750%  7/30/24 GBP         1,296       2,178
  Anheuser-Busch InBev SA NV  2.875%  9/25/24 EUR         3,068       3,855
  Anheuser-Busch InBev SA NV  4.000%  9/24/25 GBP         7,636      11,496
  Anheuser-Busch InBev SA NV  2.700%  3/31/26 EUR           200         258
  Anheuser-Busch InBev SA NV  1.150%  1/22/27 EUR         6,818       8,202
10


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Anheuser-Busch InBev SA NV  2.125%  12/2/27 EUR         6,818       8,654
  Anheuser-Busch InBev SA NV  2.000%  3/17/28 EUR        15,614      19,783
  Anheuser-Busch InBev SA NV  1.500%  4/18/30 EUR           614         752
  Anheuser-Busch InBev SA NV  1.650%  3/28/31 EUR        14,113      17,477
  Anheuser-Busch InBev SA NV  2.875%   4/2/32 EUR         6,818       9,354
  Anheuser-Busch InBev SA NV  3.250%  1/24/33 EUR         3,478       4,977
  Anheuser-Busch InBev SA NV  2.000%  1/23/35 EUR         4,773       6,059
  Anheuser-Busch InBev SA NV  2.750%  3/17/36 EUR         6,647       9,119
  Anheuser-Busch InBev SA NV  2.850%  5/25/37 GBP         6,818      10,031
  Anheuser-Busch InBev SA NV  3.700%   4/2/40 EUR         7,116      11,062
  Anheuser-Busch InBev Worldwide Inc.  4.100%   9/6/27 AUD         1,640       1,332
  Argenta Spaarbank NV  1.000%   2/6/24 EUR        15,700      18,551
  Argenta Spaarbank NV  1.000% 10/13/26 EUR         9,500      11,182
  Barry Callebaut Services NV  2.375%  5/24/24 EUR         2,454       2,982
  Belfius Bank SA  2.125%  1/30/23 EUR         2,300       2,742
  Belfius Bank SA  1.750%  6/24/24 EUR           600         728
  Belfius Bank SA  1.000% 10/26/24 EUR         6,800       8,059
  Belfius Bank SA  0.750%  2/10/25 EUR           200         237
  Belfius Bank SA  0.375%   9/2/25 EUR         6,800       7,877
  Belfius Bank SA  0.375%  2/13/26 EUR         4,100       4,733
  Belfius Bank SA  3.125%  5/11/26 EUR         8,000      10,233
  Belfius Bank SA  0.125%  9/14/26 EUR         6,800       7,881
  Belfius Bank SA  0.125%   2/8/28 EUR         8,500       9,604
  BNP Paribas Fortis SA  0.625%  10/4/25 EUR           500         592
  BNP Paribas Fortis SA  0.875%  3/22/28 EUR         6,800       8,227
  Brussels Airport Co. NV SA  1.000%   5/3/24 EUR        11,100      13,049
  Elia Group SA NV  1.500%   9/5/28 EUR         1,700       2,092
  Elia Group SA NV  2.750% 12/31/49 EUR         2,000       2,417
  Elia Transmission Belgium SA  1.375%  5/27/24 EUR           100         119
  Elia Transmission Belgium SA  1.375%  1/14/26 EUR        12,500      15,123
  Elia Transmission Belgium SA  3.250%   4/4/28 EUR           300         410
  Elia Transmission Belgium SA  3.000%   4/7/29 EUR           400         543
  Elia Transmission Belgium SA  0.875%  4/28/30 EUR         3,400       4,007
  Ethias SA  5.000%  1/14/26 EUR         5,900       7,933
  Euroclear Bank SA  0.500%  7/10/23 EUR         8,523       9,978
  Euroclear Bank SA  1.250%  9/30/24 GBP           324         443
  Euroclear Investments SA  1.125%  12/7/26 EUR         4,100       4,967
  FLUVIUS System Operator CVBA  4.500%  11/8/21 EUR         1,300       1,504
  FLUVIUS System Operator CVBA  2.875%  10/9/23 EUR         2,000       2,447
  FLUVIUS System Operator CVBA  1.750%  12/4/26 EUR         4,000       4,987
  FLUVIUS System Operator CVBA  2.875%   5/7/29 EUR           100         136
  FLUVIUS System Operator CVBA  0.250%  12/2/30 EUR        18,700      20,945
  Groupe Bruxelles Lambert SA  1.375%  5/23/24 EUR         1,200       1,436
  KBC Bank NV  0.750% 10/24/27 EUR         4,900       5,884
  KBC Group NV  0.750% 10/18/23 EUR         2,800       3,296
  KBC Group NV  1.125%  1/25/24 EUR         7,800       9,265
  KBC Group NV  0.125%  1/14/29 EUR         6,800       7,633
  KBC Group NV  0.500%  12/3/29 EUR         3,200       3,683
  KBC Group NV  0.750%  5/31/31 EUR         7,000       7,970
  Proximus SADP  2.375%   4/4/24 EUR         2,000       2,451
  Solvay SA  1.625%  12/2/22 EUR         5,600       6,576
  Solvay SA  2.750%  12/2/27 EUR           600         784
                   378,529
11


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
Bermuda (0.0%)                              
  PartnerRe Ireland Finance DAC  1.250%  9/15/26 EUR         4,676       5,586
  XLIT Ltd.  3.250%  6/29/47 EUR         7,595       9,734
                   15,320
Britain (0.0%)                              
  Blend Funding plc  2.922%   4/5/56 GBP         3,300       5,322
  DS Smith plc  0.875%  9/12/26 EUR         2,000       2,342
  Flagship Finance plc  1.875%  7/14/61 GBP         1,300       1,759
  Paragon Treasury plc  2.000%   5/7/36 GBP         1,500       2,054
  Santander UK Group Holdings plc  0.603%  9/13/29 EUR         5,000       5,638
  UNITE Group plc  3.500% 10/15/28 GBP         1,000       1,492
  United Utilities Water Finance plc  0.875% 10/28/29 GBP           770         995
  Wessex Water Services Finance plc  1.250%  1/12/36 GBP         3,000       3,681
  Western Power Distribution South Wales plc  1.625%  10/7/35 GBP         3,000       3,798
                   27,081
Canada (1.7%)                              
3 407 International Inc.  1.800%  5/22/25 CAD         1,841       1,487
  407 International Inc.  2.430%   5/4/27 CAD         1,466       1,200
  407 International Inc.  3.140%   3/6/30 CAD         3,731       3,163
3 407 International Inc.  2.590%  5/25/32 CAD         2,045       1,630
  407 International Inc.  5.750%  2/14/36 CAD         1,360       1,372
  407 International Inc.  4.450% 11/15/41 CAD         3,409       3,203
  407 International Inc.  4.190%  4/25/42 CAD         3,749       3,412
  407 International Inc.  3.650%   9/8/44 CAD         6,818       5,779
  407 International Inc.  3.830%  5/11/46 CAD         6,818       5,942
  407 International Inc.  3.600%  5/21/47 CAD         4,687       3,945
  407 International Inc.  3.720%  5/11/48 CAD            35          30
  407 International Inc.  3.670%   3/8/49 CAD         1,363       1,163
  407 International Inc.  2.840%   3/7/50 CAD         2,796       2,049
  55 Ontario School Board Trust  5.900%   6/2/33 CAD         3,506       3,745
  Aeroports de Montreal  5.170%  9/17/35 CAD         2,471       2,467
  Aeroports de Montreal  5.670% 10/16/37 CAD         1,363       1,445
  Aeroports de Montreal  3.030%  4/21/50 CAD         5,482       4,212
  AIMCo Realty Investors LP  2.266%  6/26/24 CAD         3,409       2,793
  AIMCo Realty Investors LP  3.367%   6/1/27 CAD         1,285       1,094
  AIMCo Realty Investors LP  3.043%   6/1/28 CAD         1,363       1,144
  AIMCo Realty Investors LP  2.712%   6/1/29 CAD         7,636       6,264
  Alberta Powerline LP  4.065%  12/1/53 CAD         3,403       3,011
  Alberta Powerline LP  4.065%   3/1/54 CAD           841         744
  Alectra Inc.  2.488%  5/17/27 CAD         7,499       6,165
  Alectra Inc.  3.958%  7/30/42 CAD           600         540
  Alectra Inc.  3.458%  4/12/49 CAD         1,576       1,333
3 Algonquin Power Co.  4.090%  2/17/27 CAD           644         561
  Algonquin Power Co.  4.600%  1/29/29 CAD         1,545       1,403
  Algonquin Power Co.  2.850%  7/15/31 CAD         1,600       1,282
  Alimentation Couche-Tard Inc.  3.056%  7/26/24 CAD         2,969       2,474
  Alimentation Couche-Tard Inc.  3.600%   6/2/25 CAD         4,659       3,959
  Alimentation Couche-Tard Inc.  1.875%   5/6/26 EUR           100         122
  Alliance Pipeline LP  6.765% 12/31/25 CAD            27          25
  Allied Properties REIT  3.636%  4/21/25 CAD         3,409       2,878
  Allied Properties REIT  1.726%  2/12/26 CAD         2,000       1,572
  Allied Properties REIT  3.113%   4/8/27 CAD         3,409       2,823
  Allied Properties REIT  3.394%  8/15/29 CAD         1,694       1,401
  Allied Properties REIT  3.117%  2/21/30 CAD         1,023         823
  Allied Properties REIT  3.095%   2/6/32 CAD         2,000       1,562
12


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  AltaGas Canada Inc.  3.150%   4/6/26 CAD         1,237       1,045
  AltaGas Canada Inc.  4.260%  12/5/28 CAD         1,020         912
  AltaGas Ltd.  1.227%  3/18/24 CAD         4,400       3,502
  AltaGas Ltd.  3.840%  1/15/25 CAD         6,248       5,309
  AltaGas Ltd.  3.980%  10/4/27 CAD         2,045       1,761
  AltaGas Ltd.  2.075%  5/30/28 CAD         2,032       1,572
  AltaGas Ltd.  4.500%  8/15/44 CAD         2,106       1,774
  AltaGas Ltd.  4.990%  10/4/47 CAD           620         561
  AltaLink LP  3.668%  11/6/23 CAD           200         169
  AltaLink LP  3.399%   6/6/24 CAD         6,818       5,747
  AltaLink LP  4.872% 11/15/40 CAD         3,481       3,468
  AltaLink LP  4.462%  11/8/41 CAD         1,636       1,561
  AltaLink LP  3.990%  6/30/42 CAD         1,994       1,795
  AltaLink LP  4.922%  9/17/43 CAD         2,045       2,087
  AltaLink LP  4.054% 11/21/44 CAD           818         747
  AltaLink LP  4.090%  6/30/45 CAD         1,088       1,001
  AltaLink LP  3.717%  12/3/46 CAD           585         511
  ARC Resources Ltd.  3.465%  3/10/31 CAD         2,880       2,359
  Atco Ltd.  5.500%  11/1/78 CAD           696         608
  Bank of Montreal  0.050% 12/30/22 CHF         4,775       5,248
  Bank of Montreal  0.200%  1/26/23 EUR         5,182       6,032
  Bank of Montreal  2.890%  6/20/23 CAD         8,181       6,791
  Bank of Montreal  3.200%   9/7/23 AUD           680         529
  Bank of Montreal  0.100% 10/20/23 EUR         6,818       7,929
  Bank of Montreal  2.850%   3/6/24 CAD         4,773       3,966
  Bank of Montreal  2.280%  7/29/24 CAD            25          21
  Bank of Montreal  2.700%  9/11/24 CAD         9,570       7,982
  Bank of Montreal  2.370%   2/3/25 CAD         8,181       6,721
  Bank of Montreal  4.609%  9/10/25 CAD         3,409       3,050
  Bank of Montreal  1.758%  3/10/26 CAD         4,658       3,716
  Bank of Montreal  1.551%  5/28/26 CAD         5,000       3,943
  Bank of Montreal  2.700%  12/9/26 CAD         6,818       5,713
  Bank of Montreal  3.190%   3/1/28 CAD         9,272       7,962
  Bank of Montreal  0.050%   6/8/29 EUR        19,733      22,391
  Bank of Montreal  2.880%  9/17/29 CAD         1,270       1,052
  Bank of Montreal  2.077%  6/17/30 CAD         5,591       4,507
  Bank of Montreal  1.928%  7/22/31 CAD         7,500       5,925
  Bank of Nova Scotia  2.360%  11/8/22 CAD        23,863      19,571
  Bank of Nova Scotia  1.750% 12/23/22 GBP           681         941
  Bank of Nova Scotia  2.980%  4/17/23 CAD         6,794       5,635
  Bank of Nova Scotia  2.380%   5/1/23 CAD        10,500       8,617
  Bank of Nova Scotia  0.250%  1/11/24 EUR         6,818       7,955
  Bank of Nova Scotia  2.160%   2/3/25 CAD         7,499       6,122
  Bank of Nova Scotia  0.010%  3/18/25 EUR         8,746      10,120
  Bank of Nova Scotia  0.125%   9/4/26 EUR         8,000       9,155
  Bank of Nova Scotia  2.620%  12/2/26 CAD        10,227       8,539
  Bank of Nova Scotia  0.010%  1/14/27 EUR         6,818       7,842
  Bank of Nova Scotia  1.400%  11/1/27 CAD         5,068       3,882
  Bank of Nova Scotia  3.100%   2/2/28 CAD         9,499       8,129
  Bank of Nova Scotia  3.890%  1/18/29 CAD         3,310       2,794
  Bank of Nova Scotia  2.836%   7/3/29 CAD         6,436       5,321
  Bankers Hall LP  4.377% 11/20/23 CAD            86          72
  BCI QuadReal Realty  1.680%   3/3/25 CAD         1,363       1,097
  BCI QuadReal Realty  1.747%  7/24/30 CAD         3,040       2,304
  bcIMC Realty Corp.  2.840%   6/3/25 CAD         4,774       3,982
13


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  bcIMC Realty Corp.  3.000%  3/31/27 CAD         2,275       1,912
  Bell Telephone Co. of Canada or Bell Canada  3.350%  3/22/23 CAD        10,227       8,450
  Bell Telephone Co. of Canada or Bell Canada  2.700%  2/27/24 CAD        13,553      11,213
  Bell Telephone Co. of Canada or Bell Canada  3.350%  3/12/25 CAD         9,000       7,587
  Bell Telephone Co. of Canada or Bell Canada  3.550%   3/2/26 CAD         2,045       1,734
  Bell Telephone Co. of Canada or Bell Canada  2.900%  8/12/26 CAD         2,045       1,707
  Bell Telephone Co. of Canada or Bell Canada  3.800%  8/21/28 CAD         2,045       1,773
  Bell Telephone Co. of Canada or Bell Canada  2.900%  9/10/29 CAD         3,409       2,788
  Bell Telephone Co. of Canada or Bell Canada  7.850%   4/2/31 CAD         3,409       3,745
  Bell Telephone Co. of Canada or Bell Canada  4.750%  9/29/44 CAD         2,387       2,148
  Bell Telephone Co. of Canada or Bell Canada  4.350% 12/18/45 CAD         3,253       2,772
  Bell Telephone Co. of Canada or Bell Canada  4.450%  2/27/47 CAD         5,522       4,784
  Bell Telephone Co. of Canada or Bell Canada  3.500%  9/30/50 CAD         7,159       5,299
  Bell Telephone Co. of Canada or Bell Canada  4.050%  3/17/51 CAD         4,150       3,386
  Bridging North America GP  4.341%  8/31/53 CAD         1,485       1,248
  British Columbia Ferry Services Inc.  4.702% 10/23/43 CAD         3,821       3,825
  British Columbia Ferry Services Inc.  2.794% 10/15/49 CAD         3,409       2,590
  Brookfield Asset Management Inc.  5.040%   3/8/24 CAD         1,023         884
  Brookfield Asset Management Inc.  4.820%  1/28/26 CAD        12,955      11,502
  Brookfield Asset Management Inc.  3.800%  3/16/27 CAD         2,887       2,482
  Brookfield Infrastructure Finance ULC  3.315%  2/22/24 CAD         3,409       2,844
  Brookfield Infrastructure Finance ULC  4.193%  9/11/28 CAD         2,896       2,530
  Brookfield Infrastructure Finance ULC  3.410%  10/9/29 CAD         3,341       2,779
  Brookfield Infrastructure Finance ULC  2.855%   9/1/32 CAD         1,363       1,052
  Brookfield Renewable Partners ULC  3.752%   6/2/25 CAD         3,614       3,080
  Brookfield Renewable Partners ULC  3.630%  1/15/27 CAD         2,659       2,274
  Brookfield Renewable Partners ULC  3.380%  1/15/30 CAD         3,749       3,170
  Brookfield Renewable Partners ULC  4.290%  11/5/49 CAD         2,659       2,369
  Brookfield Renewable Partners ULC  3.330%  8/13/50 CAD           300         227
  Bruce Power LP  3.000%  6/21/24 CAD         1,363       1,134
  Bruce Power LP  3.969%  6/23/26 CAD         3,409       2,950
  Bruce Power LP  4.010%  6/21/29 CAD         1,876       1,639
  Bruce Power LP  4.000%  6/21/30 CAD         2,168       1,899
  Bruce Power LP  4.132%  6/21/33 CAD         1,500       1,320
  Bruce Power LP  4.746%  6/21/49 CAD         2,182       2,077
  Cameco Corp.  4.190%  6/24/24 CAD         1,877       1,593
  Cameco Corp.  2.950% 10/21/27 CAD         1,500       1,216
  Canadian Imperial Bank of Commerce  0.000%  7/25/22 EUR        10,227      11,861
  Canadian Imperial Bank of Commerce  0.250%  1/24/23 EUR         9,887      11,516
  Canadian Imperial Bank of Commerce  0.750%  3/22/23 EUR         6,818       7,996
  Canadian Imperial Bank of Commerce  2.430%   6/9/23 CAD        10,773       8,850
  Canadian Imperial Bank of Commerce  2.970%  7/11/23 CAD         1,777       1,478
  Canadian Imperial Bank of Commerce  3.290%  1/15/24 CAD         4,431       3,713
  Canadian Imperial Bank of Commerce  0.375%   5/3/24 EUR        12,955      15,110
  Canadian Imperial Bank of Commerce  2.350%  8/28/24 CAD         5,795       4,766
  Canadian Imperial Bank of Commerce  2.000%  4/17/25 CAD         6,818       5,530
  Canadian Imperial Bank of Commerce  3.300%  5/26/25 CAD        17,659      15,089
  Canadian Imperial Bank of Commerce  1.100%  1/19/26 CAD         5,000       3,881
  Canadian Imperial Bank of Commerce  3.450%   4/4/28 CAD         5,455       4,525
  Canadian Imperial Bank of Commerce  0.010%  4/30/29 EUR        36,500      41,438
  Canadian Imperial Bank of Commerce  2.010%  7/21/30 CAD        14,230      11,449
  Canadian Imperial Bank of Commerce  1.960%  4/21/31 CAD         8,700       6,898
  Canadian National Railway Co.  2.800%  9/22/25 CAD         3,406       2,850
  Canadian National Railway Co.  3.200%  7/31/28 CAD         1,875       1,591
  Canadian National Railway Co.  3.600%   8/1/47 CAD         6,812       5,661
14


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Canadian National Railway Co.  3.600%   2/8/49 CAD           668         556
  Canadian National Railway Co.  3.050%   2/8/50 CAD         1,600       1,203
  Canadian Natural Resources Ltd.  3.550%   6/3/24 CAD         6,818       5,730
  Canadian Natural Resources Ltd.  2.500%  1/17/28 CAD         3,303       2,648
  Canadian Natural Resources Ltd.  4.850%  5/30/47 CAD           910         811
  Canadian Pacific Railway Co.  3.150%  3/13/29 CAD         3,500       2,929
  Canadian Pacific Railway Co.  6.450% 11/17/39 CAD         1,193       1,335
  Canadian Pacific Railway Co.  3.050%   3/9/50 CAD         1,186         857
  Canadian Tire Corp. Ltd.  3.167%   7/6/23 CAD         5,516       4,569
  Canadian Tire Corp. Ltd.  6.570%  2/24/34 CAD           591         598
  Canadian Tire Corp. Ltd.  5.610%   9/4/35 CAD         1,363       1,278
  Canadian Western Bank  2.924% 12/15/22 CAD         3,205       2,641
  Canadian Western Bank  2.597%   9/6/24 CAD         2,727       2,248
  Canadian Western Bank  2.606%  1/30/25 CAD         4,500       3,701
  Canadian Western Bank  1.818% 12/16/27 CAD         2,000       1,546
  Capital City Link General Partnership  4.386%  3/31/46 CAD           607         535
  Capital Power Corp.  4.284%  9/18/24 CAD         1,705       1,465
  Capital Power Corp.  4.986%  1/23/26 CAD         1,143       1,015
  Capital Power Corp.  4.424%   2/8/30 CAD         1,028         905
  Capital Power Corp.  3.147%  10/1/32 CAD         1,296       1,002
  CCL Industries Inc.  3.864%  4/13/28 CAD         1,104         946
  Cenovus Energy Inc.  3.550%  3/12/25 CAD           644         545
  Cenovus Energy Inc.  3.600%  3/10/27 CAD         4,177       3,529
  Cenovus Energy Inc.  3.500%   2/7/28 CAD         5,277       4,421
  Central 1 Credit Union  2.584%  12/6/23 CAD         3,992       3,286
  Central 1 Credit Union  2.391%  6/30/31 CAD         2,000       1,596
  CGI Inc.  2.100%  9/18/28 CAD         2,400       1,881
  Chartwell Retirement Residences  4.211%  4/28/25 CAD           681         578
  Choice Properties REIT  3.556%   9/9/24 CAD         2,749       2,320
  Choice Properties REIT  3.546%  1/10/25 CAD         5,455       4,608
  Choice Properties REIT  2.848%  5/21/27 CAD         4,746       3,913
  Choice Properties REIT  4.178%   3/8/28 CAD         3,409       2,987
  Choice Properties REIT  3.532%  6/11/29 CAD         4,841       4,098
  Choice Properties REIT  2.981%   3/4/30 CAD         2,000       1,615
  CI Financial Corp.  3.215%  7/22/24 CAD         2,000       1,675
  CI Financial Corp.  3.759%  5/26/25 CAD         2,045       1,738
  CI Financial Corp.  3.904%  9/27/27 CAD         1,122         955
  CIBC Capital Trust 10.250%  6/30/08 CAD           280         226
  Clover LP  4.216%  3/31/34 CAD         1,158         984
  Clover LP  4.216%  6/30/34 CAD         1,220       1,036
  Cogeco Communications Inc.  4.175%  5/26/23 CAD         1,534       1,281
  Cogeco Communications Inc.  2.991%  9/22/31 CAD         2,000       1,579
  Concordia University  6.550%   9/2/42 CAD         2,045       2,518
  Co-operators Financial Services Ltd.  3.327%  5/13/30 CAD         1,224         986
1 Cordelio Amalco GP I  4.087%  6/30/34 CAD         2,851       2,445
  Crombie REIT  3.677%  8/26/26 CAD         2,045       1,729
  Crombie REIT  3.917%  6/21/27 CAD         1,227       1,052
  Crombie REIT  2.686%  3/31/28 CAD         1,193         953
  Crombie REIT  3.211%  10/9/30 CAD           644         516
  Crosslinx Transit Solutions GP  4.651%  9/30/46 CAD         2,136       1,836
  CSS FSCC Partnership  6.915%  7/31/42 CAD            26          28
  CT REIT  3.527%   6/9/25 CAD         3,136       2,649
  CT REIT  3.469%  6/16/27 CAD           908         765
  CT REIT  2.371%   1/6/31 CAD         1,363       1,034
  CU Inc.  4.543% 10/24/41 CAD         1,363       1,296
15


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  CU Inc.  3.805%  9/10/42 CAD           450         391
  CU Inc.  4.722%   9/9/43 CAD         2,045       2,005
  CU Inc.  4.085%   9/2/44 CAD         3,682       3,331
  CU Inc.  3.964%  7/27/45 CAD         2,045       1,823
  CU Inc.  3.763% 11/19/46 CAD         1,023         887
  CU Inc.  3.548% 11/22/47 CAD         1,694       1,421
  CU Inc.  3.950% 11/23/48 CAD           661         593
  CU Inc.  2.963%   9/7/49 CAD         3,068       2,317
  CU Inc.  3.174%   9/5/51 CAD         1,100         876
  CU Inc.  4.211% 10/29/55 CAD        10,227       9,625
  CU Inc.  4.593% 10/24/61 CAD           442         450
  Dollarama Inc.  3.550%  11/6/23 CAD         3,047       2,551
  Dollarama Inc.  1.871%   7/8/26 CAD         2,000       1,589
  Dollarama Inc.  1.505%  9/20/27 CAD         1,363       1,045
  Dollarama Inc.  2.443%   7/9/29 CAD         2,925       2,325
  Dream Industrial REIT  1.662% 12/22/25 CAD         2,000       1,577
  Dream Industrial REIT  2.057%  6/17/27 CAD         2,800       2,206
  Edmonton Regional Airports Authority  7.214%  11/1/30 CAD           771         738
  Emera Inc.  2.900%  6/16/23 CAD        15,677      12,941
  Empire Life Insurance Co.  3.664%  3/15/28 CAD           681         567
  Enbridge Gas Inc.  3.790%  7/10/23 CAD        20,451      17,101
  Enbridge Gas Inc.  3.150%  8/22/24 CAD         4,418       3,707
  Enbridge Gas Inc.  3.310%  9/11/25 CAD         2,209       1,878
  Enbridge Gas Inc.  2.810%   6/1/26 CAD         1,400       1,175
  Enbridge Gas Inc.  2.500%   8/5/26 CAD         1,363       1,130
  Enbridge Gas Inc.  2.900%   4/1/30 CAD         3,409       2,841
  Enbridge Gas Inc.  4.880%  6/21/41 CAD         2,352       2,307
  Enbridge Gas Inc.  4.200%   6/2/44 CAD         1,636       1,491
  Enbridge Gas Inc.  4.000%  8/22/44 CAD         1,363       1,209
  Enbridge Gas Inc.  3.800%   6/1/46 CAD         2,045       1,770
  Enbridge Gas Inc.  3.590% 11/22/47 CAD         1,227       1,028
  Enbridge Gas Inc.  3.510% 11/29/47 CAD         3,201       2,646
  Enbridge Gas Inc.  3.010%   8/9/49 CAD         2,045       1,545
  Enbridge Gas Inc.  3.650%   4/1/50 CAD         1,909       1,618
  Enbridge Gas Inc.  4.950% 11/22/50 CAD         1,841       1,915
  Enbridge Gas Inc.  3.200%  9/15/51 CAD         2,500       2,017
  Enbridge Inc.  3.190%  12/5/22 CAD        10,274       8,497
  Enbridge Inc.  3.950% 11/19/24 CAD         2,045       1,744
  Enbridge Inc.  2.440%   6/2/25 CAD         2,000       1,640
  Enbridge Inc.  3.200%   6/8/27 CAD         1,636       1,365
  Enbridge Inc.  2.990%  10/3/29 CAD         3,603       2,937
  Enbridge Inc.  3.100%  9/21/33 CAD         6,000       4,744
  Enbridge Inc.  4.240%  8/27/42 CAD         2,973       2,426
  Enbridge Inc.  4.570%  3/11/44 CAD         3,617       3,085
  Enbridge Inc.  4.870% 11/21/44 CAD         2,863       2,534
  Enbridge Inc.  4.100%  9/21/51 CAD         1,200         953
  Enbridge Pipelines Inc.  3.790%  8/17/23 CAD         3,273       2,738
  Enbridge Pipelines Inc.  3.450%  9/29/25 CAD         3,572       3,040
  Enbridge Pipelines Inc.  3.520%  2/22/29 CAD         1,296       1,106
  Enbridge Pipelines Inc.  2.820%  5/12/31 CAD         2,800       2,237
  Enbridge Pipelines Inc.  4.550%  8/17/43 CAD           681         590
  Enbridge Pipelines Inc.  4.550%  9/29/45 CAD         3,818       3,313
  Enbridge Pipelines Inc.  4.130%   8/9/46 CAD         3,409       2,785
  Enbridge Pipelines Inc.  4.330%  2/22/49 CAD         1,500       1,265
  Enbridge Pipelines Inc.  4.200%  5/12/51 CAD         1,300       1,075
16


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Energir Inc.  2.100%  4/16/27 CAD           986         798
  Energir Inc.  3.530%  5/16/47 CAD         1,450       1,235
  ENMAX Corp.  3.836%   6/5/28 CAD         1,363       1,160
  ENMAX Corp.  3.876% 10/18/29 CAD         3,409       2,905
  EPCOR Utilities Inc.  4.550%  2/28/42 CAD         2,035       1,943
  EPCOR Utilities Inc.  3.554% 11/27/47 CAD         4,773       4,011
  EPCOR Utilities Inc.  2.899%  5/19/50 CAD         1,285         958
  EPCOR Utilities Inc.  3.287%  6/28/51 CAD         1,000         802
  Equitable Bank  1.939%  3/10/25 CAD         2,000       1,596
  Equitable Bank  1.876% 11/26/25 CAD         1,363       1,073
  Fair Hydro Trust  3.357%  5/15/35 CAD         4,857       4,165
  Fairfax Financial Holdings Ltd.  4.950%   3/3/25 CAD         2,768       2,432
  Fairfax Financial Holdings Ltd.  4.700% 12/16/26 CAD         3,409       2,989
  Fairfax Financial Holdings Ltd.  4.250%  12/6/27 CAD         1,681       1,443
  Fairfax Financial Holdings Ltd.  4.230%  6/14/29 CAD           604         518
  Fairfax Financial Holdings Ltd.  3.950%   3/3/31 CAD         3,705       3,069
  Federated Co-Operatives Ltd.  3.917%  6/17/25 CAD           479         402
  Federation des Caisses Desjardins du Quebec  3.056%  9/11/23 CAD         3,409       2,843
  Federation des Caisses Desjardins du Quebec  2.417%  10/4/24 CAD         8,840       7,274
  Federation des Caisses Desjardins du Quebec  0.010%  9/24/25 EUR        28,842      33,334
  Federation des Caisses Desjardins du Quebec  2.856%  5/26/30 CAD         3,749       3,095
  Federation des Caisses Desjardins du Quebec  1.992%  5/28/31 CAD         5,800       4,592
  First Capital REIT  4.790%  8/30/24 CAD         3,399       2,932
  First Capital REIT  4.323%  7/31/25 CAD         6,818       5,848
  First Capital REIT  3.753%  7/12/27 CAD         2,075       1,740
  First National Financial Corp.  2.961% 11/17/25 CAD           681         553
  Fortis Inc.  2.850% 12/12/23 CAD         1,772       1,468
  Fortis Inc.  2.180%  5/15/28 CAD         4,100       3,269
  FortisAlberta Inc.  6.220% 10/31/34 CAD            70          76
  FortisAlberta Inc.  3.672%   9/9/47 CAD         2,855       2,447
  FortisAlberta Inc.  2.632%   6/8/51 CAD           600         423
  FortisBC Energy Inc.  6.500%   5/1/34 CAD         6,818       7,503
  FortisBC Energy Inc.  6.050%  2/15/38 CAD         6,818       7,479
  FortisBC Inc.  4.000% 10/28/44 CAD         1,432       1,270
  Gibson Energy Inc.  2.450%  7/14/25 CAD         1,227       1,001
  Gibson Energy Inc.  2.850%  7/14/27 CAD         1,232       1,007
  Gibson Energy Inc.  3.600%  9/17/29 CAD         1,867       1,569
  Granite REIT Holdings LP  3.873% 11/30/23 CAD         3,409       2,869
  Granite REIT Holdings LP  3.062%   6/4/27 CAD         1,363       1,135
  Granite REIT Holdings LP  2.194%  8/30/28 CAD         2,000       1,575
  Granite REIT Holdings LP  2.378% 12/18/30 CAD         1,909       1,466
  Greater Toronto Airports Authority  1.540%   5/3/28 CAD         4,295       3,319
  Greater Toronto Airports Authority  2.730%   4/3/29 CAD         2,932       2,430
  Greater Toronto Airports Authority  3.260%   6/1/37 CAD         1,400       1,149
  Greater Toronto Airports Authority  2.750% 10/17/39 CAD         5,206       3,993
  Greater Toronto Airports Authority  5.300%  2/25/41 CAD         2,114       2,218
3 Greater Toronto Airports Authority  5.300%  2/25/41 CAD         3,409       3,289
  Great-West Lifeco Inc.  1.750%  12/7/26 EUR           500         618
  Great-West Lifeco Inc.  2.379%  5/14/30 CAD         6,500       5,197
  Great-West Lifeco Inc.  6.670%  3/21/33 CAD         1,357       1,479
  Great-West Lifeco Inc.  5.998% 11/16/39 CAD         7,499       8,197
  H&R REIT  3.416%  1/23/23 CAD         3,618       2,988
  H&R REIT  3.369%  1/30/24 CAD         1,031         858
  H&R REIT  2.906%   6/2/26 CAD         3,409       2,790
  H&R REIT  2.633%  2/19/27 CAD           200         161
17


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Halifax International Airport Authority  5.503%  7/19/41 CAD           204         214
  Honda Canada Finance Inc.  3.176%  8/28/23 CAD         4,091       3,406
  Honda Canada Finance Inc.  2.500%   6/4/24 CAD         2,000       1,648
  Honda Canada Finance Inc.  3.444%  5/23/25 CAD         2,932       2,494
  Honda Canada Finance Inc.  1.337%  3/17/26 CAD         2,523       1,973
  Honda Canada Finance Inc.  1.711%  9/28/26 CAD         2,000       1,578
  Honda Canada Finance Inc.  1.646%  2/25/28 CAD         3,112       2,412
  Hospital for Sick Children  3.416%  12/7/57 CAD         1,859       1,558
  Hospital Infrastructure Partners NOH Partnership  5.439%  1/31/45 CAD         3,833       3,731
  HSBC Bank Canada  2.542%  1/31/23 CAD         6,804       5,599
  HSBC Bank Canada  3.245%  9/15/23 CAD         6,818       5,688
  HSBC Bank Canada  1.782%  5/20/26 CAD         5,600       4,456
  Hydro One Inc.  0.710%  1/16/23 CAD         9,818       7,900
  Hydro One Inc.  2.540%   4/5/24 CAD         1,400       1,158
  Hydro One Inc.  2.970%  6/26/25 CAD           245         206
  Hydro One Inc.  2.770%  2/24/26 CAD         6,682       5,605
  Hydro One Inc.  3.020%   4/5/29 CAD         2,591       2,192
  Hydro One Inc.  7.350%   6/3/30 CAD         1,363       1,487
  Hydro One Inc.  6.930%   6/1/32 CAD           774         854
  Hydro One Inc.  5.360%  5/20/36 CAD           681         700
  Hydro One Inc.  4.890%  3/13/37 CAD         3,409       3,363
  Hydro One Inc.  5.490%  7/16/40 CAD         2,403       2,557
  Hydro One Inc.  4.390%  9/26/41 CAD         3,488       3,290
  Hydro One Inc.  4.590%  10/9/43 CAD         3,749       3,644
  Hydro One Inc.  3.910%  2/23/46 CAD         2,182       1,950
  Hydro One Inc.  5.000% 10/19/46 CAD         1,363       1,423
  Hydro One Inc.  3.720% 11/18/47 CAD           982         855
  Hydro One Inc.  3.630%  6/25/49 CAD         6,218       5,340
  Hydro One Inc.  2.710%  2/28/50 CAD         2,291       1,661
  Hydro One Inc.  3.640%   4/5/50 CAD           400         349
  Hydro One Inc.  3.100%  9/15/51 CAD         2,900       2,297
  Hydro One Inc.  3.790%  7/31/62 CAD         1,363       1,207
  Hydro Ottawa Holding Inc.  3.991%  5/14/43 CAD         1,432       1,250
  Hyundai Capital Canada Inc.  2.008%  5/12/26 CAD         2,000       1,592
  iA Financial Corp. Inc.  3.072%  9/24/31 CAD         2,045       1,707
  IGM Financial Inc.  3.440%  1/26/27 CAD         2,655       2,253
  IGM Financial Inc.  4.560%  1/25/47 CAD           614         572
  IGM Financial Inc.  4.115%  12/9/47 CAD         4,148       3,629
  IGM Financial Inc.  4.206%  3/21/50 CAD           954         862
  Industrial Alliance Insurance & Financial Services Inc.  3.300%  9/15/28 CAD         3,409       2,835
  InPower BC General Partnership  4.471%  3/31/33 CAD         2,781       2,400
  Intact Financial Corp.  1.207%  5/21/24 CAD         1,400       1,117
  Intact Financial Corp.  3.770%   3/2/26 CAD         1,620       1,398
  Intact Financial Corp.  2.850%   6/7/27 CAD           375         313
  Intact Financial Corp.  1.928% 12/16/30 CAD         5,046       3,827
  Intact Financial Corp.  6.400% 11/23/39 CAD            95         106
  Intact Financial Corp.  5.160%  6/16/42 CAD         2,032       2,043
  Intact Financial Corp.  2.954% 12/16/50 CAD         1,677       1,222
  Integrated Team Solutions SJHC Partnership  5.946% 11/30/42 CAD           103         103
  Inter Pipeline Ltd.  2.608%  9/13/23 CAD         1,309       1,069
  Inter Pipeline Ltd.  2.734%  4/18/24 CAD         1,868       1,525
  Inter Pipeline Ltd.  3.173%  3/24/25 CAD         1,129         930
  Inter Pipeline Ltd.  3.484% 12/16/26 CAD         1,705       1,410
  Inter Pipeline Ltd.  4.232%   6/1/27 CAD         4,391       3,761
18


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Inter Pipeline Ltd.  4.637%  5/30/44 CAD         1,728       1,353
  Ivanhoe Cambridge II Inc.  2.909%  6/27/23 CAD         1,736       1,436
  Ivanhoe Cambridge II Inc.  2.296% 12/12/24 CAD         2,000       1,641
  Keyera Corp.  3.934%  6/21/28 CAD         1,501       1,285
  Keyera Corp.  3.959%  5/29/30 CAD         1,500       1,278
  Kingston Solar LP  3.571%  7/31/35 CAD            23          19
  Laurentian Bank of Canada  3.450%  6/27/23 CAD         3,439       2,866
  Loblaw Cos. Ltd.  4.860%  9/12/23 CAD         1,363       1,160
  Loblaw Cos. Ltd.  4.488% 12/11/28 CAD         5,054       4,569
  Loblaw Cos. Ltd.  2.284%   5/7/30 CAD         3,787       2,965
  Loblaw Cos. Ltd.  5.900%  1/18/36 CAD         1,705       1,715
  Lower Mattagami Energy LP  3.416%  6/20/24 CAD         1,363       1,154
  Lower Mattagami Energy LP  2.433%  5/14/31 CAD         2,000       1,609
  Lower Mattagami Energy LP  5.139%  5/18/41 CAD         3,409       3,527
  Lower Mattagami Energy LP  4.944%  9/21/43 CAD           562         577
  Magna International Inc.  3.100% 12/15/22 CAD         2,000       1,651
  Manufacturers Life Insurance Co.  3.181% 11/22/27 CAD         3,409       2,822
  Manulife Bank of Canada  2.844%  1/12/23 CAD         4,210       3,473
  Manulife Bank of Canada  2.378% 11/19/24 CAD         1,977       1,627
  Manulife Bank of Canada  1.337%  2/26/26 CAD         3,303       2,600
  Manulife Bank of Canada  1.536%  9/14/26 CAD         2,000       1,572
  Manulife Finance Delaware LP  5.059% 12/15/41 CAD         2,584       2,484
  Manulife Financial Corp.  3.049%  8/20/29 CAD         3,409       2,837
  Manulife Financial Corp.  2.237%  5/12/30 CAD         9,156       7,437
  Manulife Financial Corp.  2.818%  5/13/35 CAD         6,954       5,635
  McGill University  6.150%  9/22/42 CAD            60          71
  McGill University  3.975%  1/29/56 CAD           151         140
  McGill University Health Centre  5.360% 12/31/43 CAD           438         476
  Metro Inc.  3.390%  12/6/27 CAD         7,235       6,142
  Metro Inc.  5.970% 10/15/35 CAD         3,442       3,499
  Metro Inc.  4.270%  12/4/47 CAD         1,784       1,551
  Metro Inc.  3.413%  2/28/50 CAD         2,202       1,658
  Morguard Corp.  4.715%  1/25/24 CAD         1,896       1,558
  Mountain View Partners GP  3.974%  3/31/51 CAD           115          97
  National Bank of Canada  0.250%  7/24/23 EUR         1,363       1,590
  National Bank of Canada  0.000%  9/29/23 EUR         3,136       3,640
  National Bank of Canada  0.375%  1/15/24 EUR         3,409       3,987
  National Bank of Canada  2.545%  7/12/24 CAD         6,273       5,180
  National Bank of Canada  2.580%   2/3/25 CAD         4,568       3,777
  National Bank of Canada  0.750%  3/13/25 EUR         6,137       7,274
  National Bank of Canada  1.534%  6/15/26 CAD         3,970       3,127
  National Bank of Canada  3.183%   2/1/28 CAD         6,780       5,597
  NAV Canada  2.063%  5/29/30 CAD         2,727       2,153
  NAV Canada  3.534%  2/23/46 CAD           681         587
  NAV Canada  3.293%  3/30/48 CAD         4,773       3,972
  NAV Canada  2.924%  9/29/51 CAD           427         332
  Nissan Canada Inc.  1.626%  3/18/24 CAD         4,000       3,192
  Nissan Canada Inc.  2.103%  9/22/25 CAD         6,000       4,773
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.200%  7/22/24 CAD         1,363       1,140
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.200%  4/24/26 CAD         1,363       1,153
  North West Redwater Partnership / NWR Financing Co. Ltd.  2.000%  12/1/26 CAD         2,000       1,591
  North West Redwater Partnership / NWR Financing Co. Ltd.  2.800%   6/1/27 CAD         5,182       4,286
19


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.250%   6/1/29 CAD         3,375       3,024
  North West Redwater Partnership / NWR Financing Co. Ltd.  2.800%   6/1/31 CAD         4,000       3,193
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.150%   6/1/33 CAD         3,749       3,298
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.750%   6/1/37 CAD         2,045       1,887
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.350%  1/10/39 CAD         1,531       1,361
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.700%  2/23/43 CAD         2,796       2,256
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.050%  7/22/44 CAD         2,761       2,344
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.750%   6/1/51 CAD         3,000       2,428
  Northern Courier Pipeline LP  3.365%  6/30/42 CAD         1,253       1,019
3 Northern Courier Pipeline LP  3.365%  6/30/42 CAD         2,413       1,962
  Northwestern Hydro Acquisition Co. II LP  3.877% 12/31/36 CAD         1,730       1,479
  Northwestern Hydro Acquisition Co. III LP  3.940% 12/31/38 CAD         2,174       1,856
  Nouvelle Autoroute 30 Financement Inc.  4.114%  3/31/42 CAD         3,898       3,356
  Nova Scotia Power Inc.  5.610%  6/15/40 CAD         2,932       3,083
  Nova Scotia Power Inc.  4.500%  7/20/43 CAD         2,255       2,115
  Nova Scotia Power Inc.  3.571%   4/5/49 CAD         2,567       2,126
  Nova Scotia Power Inc.  3.307%  4/25/50 CAD         1,363       1,077
  OMERS Realty Corp.  3.358%   6/5/23 CAD         2,727       2,273
  OMERS Realty Corp.  2.858%  2/23/24 CAD         3,399       2,831
  OMERS Realty Corp.  3.328% 11/12/24 CAD         1,164         985
  OMERS Realty Corp.  3.331%   6/5/25 CAD         2,175       1,844
  OMERS Realty Corp.  3.628%   6/5/30 CAD         3,068       2,692
  Ontario Power Generation Inc.  3.315%  10/4/27 CAD         1,909       1,628
  Ontario Power Generation Inc.  2.977%  9/13/29 CAD         5,455       4,539
  Ontario Power Generation Inc.  3.215%   4/8/30 CAD         4,091       3,470
  Ontario Power Generation Inc.  3.838%  6/22/48 CAD         4,091       3,515
  Ontario Power Generation Inc.  3.651%  9/13/50 CAD           300         250
  Ontario Power Generation Inc.  2.947%  2/21/51 CAD         1,948       1,423
  Original Wempi Inc.  4.056%  2/13/24 CAD         1,844       1,509
  Original Wempi Inc.  4.309%  2/13/24 CAD         1,172         967
  Ottawa MacDonald-Cartier International Airport Authority  3.933%   6/9/45 CAD         1,282       1,032
  Pembina Pipeline Corp.  2.560%   6/1/23 CAD         2,761       2,266
  Pembina Pipeline Corp.  2.990%  1/22/24 CAD         5,455       4,517
  Pembina Pipeline Corp.  3.710%  8/11/26 CAD         3,306       2,813
  Pembina Pipeline Corp.  4.240%  6/15/27 CAD         2,045       1,782
  Pembina Pipeline Corp.  4.020%  3/27/28 CAD         1,400       1,207
  Pembina Pipeline Corp.  3.620%   4/3/29 CAD         2,045       1,730
  Pembina Pipeline Corp.  3.310%   2/1/30 CAD         5,046       4,159
  Pembina Pipeline Corp.  4.750%  4/30/43 CAD         2,045       1,740
  Pembina Pipeline Corp.  4.810%  3/25/44 CAD         3,784       3,244
  Pembina Pipeline Corp.  4.740%  1/21/47 CAD           564         480
  Pembina Pipeline Corp.  4.750%  3/26/48 CAD         1,993       1,702
  Pembina Pipeline Corp.  4.540%   4/3/49 CAD         3,818       3,165
  Pembina Pipeline Corp.  4.670%  5/28/50 CAD         1,769       1,496
  Penske Truck Leasing Canada Inc.  2.850%  12/7/22 CAD         1,057         867
  Plenary Properties LTAP LP  6.288%  1/31/44 CAD         4,436       4,688
  Power Corp. of Canada  4.455%  7/27/48 CAD         2,000       1,881
20


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Power Financial Corp.  6.900%  3/11/33 CAD           855         922
  Reliance LP  3.750%  3/15/26 CAD         1,304       1,113
  Reliance LP  2.680%  12/1/27 CAD         4,601       3,687
  Reliance LP  2.670%   8/1/28 CAD         2,000       1,592
  RioCan Real Estate Investment Trust  3.287%  2/12/24 CAD         2,000       1,673
  RioCan REIT  3.209%  9/29/23 CAD         2,000       1,658
  RioCan REIT  2.576%  2/12/25 CAD         2,932       2,407
  RioCan REIT  1.974%  6/15/26 CAD         2,045       1,615
  RioCan REIT  2.361%  3/10/27 CAD         1,227         977
  Rogers Communications Inc.  4.000%  3/13/24 CAD         5,659       4,779
  Rogers Communications Inc.  3.650%  3/31/27 CAD         6,392       5,422
  Rogers Communications Inc.  3.250%   5/1/29 CAD         2,884       2,369
  Rogers Communications Inc.  6.680%  11/4/39 CAD         2,076       2,189
  Rogers Communications Inc.  6.110%  8/25/40 CAD         3,409       3,405
  Rogers Communications Inc.  6.560%  3/22/41 CAD         2,209       2,318
  Royal Bank of Canada  2.360%  12/5/22 CAD        10,227       8,394
  Royal Bank of Canada  2.949%   5/1/23 CAD         6,818       5,656
  Royal Bank of Canada  0.250%  6/28/23 EUR        10,977      12,804
  Royal Bank of Canada  3.296%  9/26/23 CAD         6,827       5,706
  Royal Bank of Canada  2.333%  12/5/23 CAD         5,707       4,716
  Royal Bank of Canada  0.250%  1/29/24 EUR         7,499       8,750
  Royal Bank of Canada  2.352%   7/2/24 CAD         9,409       7,736
  Royal Bank of Canada  0.125%  7/23/24 EUR         2,045       2,372
  Royal Bank of Canada  2.609%  11/1/24 CAD        10,380       8,588
  Royal Bank of Canada  1.375%  12/9/24 GBP         2,045       2,798
  Royal Bank of Canada  1.936%   5/1/25 CAD         8,386       6,792
  Royal Bank of Canada  1.589%   5/4/26 CAD         6,000       4,743
  Royal Bank of Canada  0.050%  6/19/26 EUR        11,591      13,376
  Royal Bank of Canada  0.010%  1/21/27 EUR        10,227      11,753
  Royal Bank of Canada  2.328%  1/28/27 CAD        12,109       9,827
  Royal Bank of Canada  1.833%  7/31/28 CAD         2,000       1,559
  Royal Bank of Canada  2.740%  7/25/29 CAD         6,818       5,625
  Royal Bank of Canada  2.880% 12/23/29 CAD         5,637       4,669
  Royal Bank of Canada  2.088%  6/30/30 CAD         4,773       3,858
  Royal Bank of Canada  1.670%  1/28/33 CAD         4,500       3,435
  Sagen MI Canada Inc.  4.242%   4/1/24 CAD           698         592
  Sagen MI Canada Inc.  2.955%   3/1/27 CAD         1,262       1,024
  Saputo Inc.  3.603%  8/14/25 CAD         4,846       4,117
  Saputo Inc.  1.415%  6/19/26 CAD         1,363       1,057
  Saputo Inc.  2.242%  6/16/27 CAD         2,659       2,116
  Scotiabank Capital Trust  5.650% 12/31/56 CAD         2,691       2,889
  SEC LP and Arci Ltd.  5.188%  8/29/33 CAD         3,042       2,676
  Shaw Communications Inc.  4.350%  1/31/24 CAD         6,818       5,790
  Shaw Communications Inc.  4.400%  11/2/28 CAD            30          26
  Shaw Communications Inc.  2.900%  12/9/30 CAD         1,909       1,501
  Shaw Communications Inc.  6.750%  11/9/39 CAD         6,228       6,566
  Shaw Communications Inc.  4.250%  12/9/49 CAD         2,387       1,907
  SmartCentres REIT  3.444%  8/28/26 CAD           425         359
  SmartCentres REIT  3.834% 12/21/27 CAD         3,409       2,909
  SmartCentres REIT  2.307% 12/18/28 CAD         1,772       1,371
  SmartCentres REIT  3.526% 12/20/29 CAD         4,431       3,684
  SmartCentres REIT  3.648% 12/11/30 CAD         1,363       1,133
  Sobeys Inc.  4.700%   8/8/23 CAD         3,409       2,902
  SSL Finance Inc.  4.099% 10/31/45 CAD         2,013       1,745
  Summit Industrial Income REIT  2.150%  9/17/25 CAD           886         714
21


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Summit Industrial Income REIT  1.820%   4/1/26 CAD         2,100       1,657
  Summit Industrial Income REIT  2.440%  7/14/28 CAD         2,000       1,583
  Sun Life Financial Inc.  3.050%  9/19/28 CAD         6,818       5,651
  Sun Life Financial Inc.  2.580%  5/10/32 CAD         3,749       3,062
  Sun Life Financial Inc.  2.060%  10/1/35 CAD         6,713       5,105
  Sun Life Financial Inc.  5.400%  5/29/42 CAD         3,306       3,341
  Suncor Energy Inc.  3.000%  9/14/26 CAD         2,791       2,329
  Suncor Energy Inc.  3.100%  5/24/29 CAD         3,000       2,486
  Suncor Energy Inc.  5.000%   4/9/30 CAD         5,591       5,212
  Suncor Energy Inc.  5.390%  3/26/37 CAD         2,932       2,815
  Suncor Energy Inc.  4.340%  9/13/46 CAD           991         835
  Suncor Energy Inc.  3.950%   3/4/51 CAD         1,863       1,476
  TELUS Corp.  3.350%  3/15/23 CAD           540         446
  TELUS Corp.  3.350%   4/1/24 CAD         7,295       6,103
  TELUS Corp.  3.750%  1/17/25 CAD         3,040       2,590
  TELUS Corp.  3.750%  3/10/26 CAD         4,701       4,041
  TELUS Corp.  2.350%  1/27/28 CAD         4,091       3,272
  TELUS Corp.  3.625%   3/1/28 CAD         6,546       5,616
  TELUS Corp.  3.300%   5/2/29 CAD         5,162       4,329
  TELUS Corp.  4.400%   4/1/43 CAD           924         783
  TELUS Corp.  4.850%   4/5/44 CAD         6,307       5,665
  TELUS Corp.  4.750%  1/17/45 CAD         1,875       1,663
  TELUS Corp.  4.400%  1/29/46 CAD         2,284       1,932
  TELUS Corp.  4.700%   3/6/48 CAD         1,841       1,629
  TELUS Corp.  3.950%  2/16/50 CAD         3,735       2,947
  TELUS Corp.  4.100%   4/5/51 CAD         2,710       2,194
  Teranet Holdings LP  3.544%  6/11/25 CAD         3,478       2,934
  Teranet Holdings LP  5.754% 12/17/40 CAD         2,315       2,222
  Teranet Holdings LP  6.100%  6/17/41 CAD           400         400
  Thomson Reuters Corp.  2.239%  5/14/25 CAD        11,529       9,387
  THP Partnership  4.394% 10/31/46 CAD           104          93
  TMX Group Ltd.  4.461%  10/3/23 CAD         3,889       3,295
  Toromont Industries Ltd.  3.842% 10/27/27 CAD         1,497       1,289
  Toronto Hydro Corp.  2.520%  8/25/26 CAD         3,749       3,129
  Toronto Hydro Corp.  2.430% 12/11/29 CAD         4,091       3,330
  Toronto Hydro Corp.  5.540%  5/21/40 CAD           200         214
  Toronto Hydro Corp.  3.550%  7/28/45 CAD           330         282
  Toronto Hydro Corp.  3.485%  2/28/48 CAD         3,478       2,948
  Toronto Hydro Corp.  2.990% 12/10/49 CAD           455         356
  Toronto-Dominion Bank  0.375%  4/27/23 EUR        14,318      16,717
  Toronto-Dominion Bank  3.005%  5/30/23 CAD        10,227       8,499
  Toronto-Dominion Bank  1.909%  7/18/23 CAD         9,218       7,536
  Toronto-Dominion Bank  2.850%   3/8/24 CAD         3,749       3,117
  Toronto-Dominion Bank  0.500%   4/3/24 EUR         8,863      10,396
  Toronto-Dominion Bank  2.050%  7/10/24 AUD         1,850       1,399
  Toronto-Dominion Bank  3.226%  7/24/24 CAD         8,568       7,240
  Toronto-Dominion Bank  2.496%  12/2/24 CAD        10,576       8,726
  Toronto-Dominion Bank  1.943%  3/13/25 CAD         5,318       4,314
  Toronto-Dominion Bank  0.625%   6/6/25 EUR         9,545      11,279
  Toronto-Dominion Bank  1.128%  12/9/25 CAD         7,091       5,533
  Toronto-Dominion Bank  0.100%  7/19/27 EUR        13,568      15,648
  Toronto-Dominion Bank  1.888%   3/8/28 CAD        16,224      12,785
  Toronto-Dominion Bank  3.589%  9/14/28 CAD         5,455       4,561
  Toronto-Dominion Bank  3.224%  7/25/29 CAD         7,176       5,999
  Toronto-Dominion Bank  3.105%  4/22/30 CAD        11,298       9,438
22


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Toronto-Dominion Bank  4.859%   3/4/31 CAD         4,197       3,771
  Toronto-Dominion Bank  3.060%  1/26/32 CAD         6,682       5,548
  Toyota Credit Canada Inc.  2.700%  1/25/23 CAD         3,460       2,851
  Toyota Credit Canada Inc.  3.040%  7/12/23 CAD         3,064       2,545
  Toyota Credit Canada Inc.  1.270%  7/22/24 CAD         2,000       1,598
  Toyota Credit Canada Inc.  2.310% 10/23/24 CAD         3,748       3,076
  Toyota Credit Canada Inc.  2.110%  2/26/25 CAD         3,408       2,784
  Toyota Credit Canada Inc.  1.660%  7/20/26 CAD         2,000       1,584
  TransCanada PipeLines Ltd.  3.690%  7/19/23 CAD         3,572       2,979
  TransCanada PipeLines Ltd.  3.300%  7/17/25 CAD         1,178         993
  TransCanada PipeLines Ltd.  3.800%   4/5/27 CAD         9,661       8,329
  TransCanada PipeLines Ltd.  3.390%  3/15/28 CAD         2,045       1,719
  TransCanada PipeLines Ltd.  6.280%  5/26/28 CAD         3,078       2,967
  TransCanada PipeLines Ltd.  3.000%  9/18/29 CAD         2,591       2,119
  TransCanada PipeLines Ltd.  2.970%   6/9/31 CAD         4,550       3,649
  TransCanada PipeLines Ltd.  8.050%  2/17/39 CAD            90         108
  TransCanada PipeLines Ltd.  4.550% 11/15/41 CAD         4,773       4,091
  TransCanada PipeLines Ltd.  4.350%   6/6/46 CAD         2,727       2,266
  TransCanada PipeLines Ltd.  4.330%  9/16/47 CAD         3,409       2,827
  TransCanada PipeLines Ltd.  4.180%   7/3/48 CAD         4,276       3,465
  TransCanada PipeLines Ltd.  4.340% 10/15/49 CAD         4,790       3,971
  TransEd Partners GP  3.951%  9/30/50 CAD         1,256         994
  Trillium Health Partners Volunteers  3.702% 12/20/58 CAD           615         536
  University of Ottawa  2.635%  2/13/60 CAD         2,509       1,742
  University of Toronto  5.841% 12/15/43 CAD           130         148
  University of Toronto  4.251%  12/7/51 CAD         1,705       1,619
  University of Western Ontario  4.798%  5/24/47 CAD           184         186
3 Vancouver Airport Authority  7.425%  12/7/26 CAD        10,227      10,386
  Vancouver Airport Authority  3.857% 11/10/45 CAD           579         516
  Vancouver Airport Authority  2.874% 10/18/49 CAD           900         685
  Vancouver Airport Authority  2.800%  9/21/50 CAD         1,705       1,263
  Westcoast Energy Inc.  3.430%  9/12/24 CAD         4,568       3,849
  Westcoast Energy Inc.  3.770%  12/8/25 CAD         1,152         990
  Westcoast Energy Inc.  4.791% 10/28/41 CAD         1,510       1,369
  WSP Global Inc.  2.408%  4/19/28 CAD         1,900       1,515
  York University  6.480%   3/7/42 CAD         1,176       1,407
                   1,935,032
China (0.0%)                              
  Prosus NV  1.539%   8/3/28 EUR         1,000       1,161
3 Prosus NV  1.288%  7/13/29 EUR         3,500       3,952
  Prosus NV  2.031%   8/3/32 EUR         2,964       3,371
3 Prosus NV  1.985%  7/13/33 EUR         3,000       3,351
  State Grid Europe Development 2014 plc  2.450%  1/26/27 EUR         1,527       1,924
  State Grid Overseas Investment BVI Ltd.  1.375%   5/2/25 EUR         4,773       5,702
  State Grid Overseas Investment BVI Ltd.  0.797%   8/5/26 EUR        18,818      22,020
  State Grid Overseas Investment BVI Ltd.  2.125%   5/2/30 EUR         4,704       5,843
                   47,324
Czech Republic (0.1%)                              
  CEZ A/S  4.875%  4/16/25 EUR         8,523      11,445
  CEZ A/S  3.000%   6/5/28 EUR         8,523      11,251
  CPI Property Group SA  2.125%  10/4/24 EUR         3,000       3,617
  CPI Property Group SA  1.625%  4/23/27 EUR        10,227      12,110
  EP Infrastructure A/S  1.659%  4/26/24 EUR         7,409       8,816
  EP Infrastructure A/S  1.698%  7/30/26 EUR         4,000       4,792
  EP Infrastructure A/S  2.045%  10/9/28 EUR        15,522      18,771
23


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  EP Infrastructure A/S  1.816%   3/2/31 EUR        10,164      11,928
                   82,730
Denmark (0.3%)                              
  AP Moller - Maersk A/S  1.750%  3/16/26 EUR        15,347      18,808
  BASF SE  1.625% 11/15/37 EUR         3,000       3,937
  Carlsberg Breweries A/S  2.625% 11/15/22 EUR           120         143
  Carlsberg Breweries A/S  0.500%   9/6/23 EUR           500         584
  Carlsberg Breweries A/S  2.500%  5/28/24 EUR        11,591      14,192
  Carlsberg Breweries A/S  0.875%   7/1/29 EUR         6,818       8,035
  Danfoss Finance I BV  0.125%  4/28/26 EUR         6,500       7,444
  Danica Pension Livsforsikrings AB  4.375%  9/29/45 EUR         2,318       3,006
  Danske Bank A/S  1.375%  5/24/22 EUR         3,409       3,979
  Danske Bank A/S  0.250% 11/28/22 EUR        11,384      13,241
  Danske Bank A/S  0.875%  5/22/23 EUR         9,314      10,923
  Danske Bank A/S  0.750%   6/2/23 EUR        10,977      12,877
  Danske Bank A/S  0.625%  5/26/25 EUR         3,000       3,520
  Danske Bank A/S  0.500%  8/27/25 EUR         8,822      10,258
  Danske Bank A/S  0.750% 11/22/27 EUR        10,227      12,262
  Danske Bank A/S  2.250%  1/14/28 GBP         8,431      11,627
  Danske Bank A/S  0.750%   6/9/29 EUR         5,000       5,716
  Danske Bank A/S  1.375%  2/12/30 EUR         5,795       6,782
  Deutsche Wohnen SE  1.500%  4/30/30 EUR         4,000       4,913
  E.ON SE  0.000%  8/28/24 EUR         4,000       4,631
  Hamburg Commercial Bank AG  0.375%   3/9/26 EUR         5,000       5,748
  ISS Global A/S  2.125%  12/2/24 EUR           500         609
  ISS Global A/S  0.875%  6/18/26 EUR           200         233
  ISS Global A/S  1.500%  8/31/27 EUR        13,704      16,338
  Jyske Bank A/S  0.375% 10/15/25 EUR         6,818       7,922
  Jyske Bank A/S  2.250%   4/5/29 EUR         7,568       9,080
  Jyske Realkredit A/S  0.250%   7/1/23 EUR         5,455       6,360
  Jyske Realkredit A/S  0.375%   4/1/25 EUR         4,773       5,590
  Jyske Realkredit A/S  0.500%  10/1/26 EUR        15,122      17,819
  Nordea Kredit Realkreditaktieselskab  3.500%  10/1/44 DKK           268          47
  Novo Nordisk Finance Netherlands BV  0.000%   6/4/24 EUR         9,500      11,025
  Nykredit Realkredit A/S  1.000%   1/1/22 DKK       237,272      37,011
  Nykredit Realkredit A/S  0.250%  1/20/23 EUR         2,045       2,375
  Nykredit Realkredit A/S  0.125%  7/10/24 EUR         8,181       9,468
  Nykredit Realkredit A/S  0.500%  7/10/25 EUR         6,776       7,926
  Nykredit Realkredit A/S  0.750%  1/20/27 EUR         8,470       9,884
  Nykredit Realkredit A/S  2.750% 11/17/27 EUR         5,182       6,151
  Nykredit Realkredit A/S  0.375%  1/17/28 EUR        10,000      11,288
  Nykredit Realkredit A/S  2.000%  10/1/47 DKK        26,953       4,314
  Orsted A/S  1.500% 11/26/29 EUR        19,969      24,818
  Orsted A/S  4.875%  1/12/32 GBP         7,656      13,447
  Orsted A/S  2.500%  5/16/33 GBP         2,920       4,266
  Orsted A/S  5.750%   4/9/40 GBP           681       1,484
  Orsted A/S  6.250%  6/26/13 EUR           713         904
  Orsted A/S  2.500%  2/18/21 GBP           300         396
  Sydbank A/S  1.375%  9/18/23 EUR         6,818       8,079
  Vonovia SE  0.750%   9/1/32 EUR         3,900       4,332
                   383,792
Finland (0.3%)                              
  Aktia Bank OYJ  0.375%   3/5/26 EUR         6,800       7,992
  Citycon Treasury BV  2.375%  1/15/27 EUR         6,818       8,287
  Elenia Verkko OYJ  0.375%   2/6/27 EUR         6,818       7,849
24


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Fortum OYJ  2.125%  2/27/29 EUR         6,532       8,306
  Kojamo OYJ  1.875%  5/27/27 EUR         2,000       2,452
  Kojamo OYJ  0.875%  5/28/29 EUR         8,000       9,152
  Nordea Bank Abp  1.125%  2/12/25 EUR           200         240
  Nordea Bank Abp  0.550%  6/23/25 CHF         8,725       9,738
  Nordea Bank Abp  0.500%  5/14/27 EUR         6,818       7,987
  Nordea Kiinnitysluottopankki OYJ  0.250%  2/28/23 EUR         7,363       8,584
  Nordea Kiinnitysluottopankki OYJ  0.250% 11/21/23 EUR         3,409       3,981
  Nordea Kiinnitysluottopankki OYJ  0.250%  3/18/26 EUR         4,364       5,101
  Nordea Kiinnitysluottopankki OYJ  0.625%  3/17/27 EUR        15,681      18,690
  OP Corporate Bank plc  0.375%  8/29/23 EUR         4,091       4,783
  OP Corporate Bank plc  0.375%  2/26/24 EUR         4,636       5,426
  OP Corporate Bank plc  0.375%  6/19/24 EUR         5,455       6,358
  OP Corporate Bank plc  0.125%   7/1/24 EUR        10,000      11,626
  OP Corporate Bank plc  1.000%  5/22/25 EUR         6,818       8,142
  OP Corporate Bank plc  0.500%  8/12/25 EUR         2,215       2,601
  OP Corporate Bank plc  0.600%  1/18/27 EUR        14,999      17,458
  OP Corporate Bank plc  0.100% 11/16/27 EUR         4,000       4,553
  OP Corporate Bank plc  0.625% 11/12/29 EUR         8,863      10,172
  OP Corporate Bank plc  1.625%   6/9/30 EUR        17,045      20,198
  OP Mortgage Bank  0.625%   9/4/22 EUR        15,477      18,056
  OP Mortgage Bank  0.050%  2/22/23 EUR         3,409       3,964
  OP Mortgage Bank  0.250%  5/11/23 EUR         4,599       5,366
  OP Mortgage Bank  0.250%  3/13/24 EUR        20,455      23,902
  OP Mortgage Bank  1.000% 11/28/24 EUR         4,773       5,707
  OP Mortgage Bank  0.010% 11/19/26 EUR         6,818       7,877
  OP Mortgage Bank  0.625%  2/15/29 EUR         6,818       8,162
  OP Mortgage Bank  0.010% 11/19/30 EUR        20,455      23,163
  Sampo OYJ  3.375%  5/23/49 EUR         7,659       9,994
  Sampo OYJ  2.500%   9/3/52 EUR        16,186      19,634
  Stora Enso OYJ  2.500%   6/7/27 EUR         3,068       3,924
  Stora Enso OYJ  2.500%  3/21/28 EUR         3,100       3,997
                   323,422
France (3.0%)                              
  Aeroports de Paris  1.500%  7/24/23 EUR         3,400       4,029
  Aeroports de Paris  3.125%  6/11/24 EUR         3,400       4,275
  Aeroports de Paris  1.500%   4/7/25 EUR         2,700       3,278
  Aeroports de Paris  2.125%  10/2/26 EUR        12,200      15,343
  Aeroports de Paris  2.750%   6/5/28 EUR           800       1,078
  Aeroports de Paris  1.000%   1/5/29 EUR        17,100      20,338
  Aeroports de Paris  2.750%   4/2/30 EUR         7,600      10,193
  Aeroports de Paris  1.500%   7/2/32 EUR         4,700       5,687
  Aeroports de Paris  1.125%  6/18/34 EUR         2,000       2,323
  Aeroports de Paris  2.125% 10/11/38 EUR         5,000       6,630
  Air Liquide Finance SA  0.500%  6/13/22 EUR         1,200       1,391
  Air Liquide Finance SA  1.000%   4/2/25 EUR         6,800       8,121
  Air Liquide Finance SA  1.250%   6/3/25 EUR         3,800       4,580
  Air Liquide Finance SA  1.000%   3/8/27 EUR           100         121
  Air Liquide Finance SA  1.250%  6/13/28 EUR           800         986
  Air Liquide Finance SA  1.375%   4/2/30 EUR         9,800      12,250
  Air Liquide SA  2.375%   9/6/23 EUR         1,500       1,818
  Airbus Finance BV  2.375%   4/2/24 EUR         6,341       7,707
  Airbus Finance BV  2.125% 10/29/29 EUR           564         724
  Airbus Finance BV  1.375%  5/13/31 EUR        13,797      16,626
  Airbus SE  1.625%   4/7/25 EUR         1,000       1,212
25


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Airbus SE  1.375%   6/9/26 EUR         8,954      10,836
  Airbus SE  2.375%   4/7/32 EUR         3,124       4,102
  Airbus SE  2.375%   6/9/40 EUR         4,863       6,422
  Alstom SA  0.250% 10/14/26 EUR         6,800       7,806
  Altarea SCA  2.250%   7/5/24 EUR         6,800       8,239
  APRR SA  1.500%  1/15/24 EUR           600         716
  APRR SA  1.875%  1/15/25 EUR         1,600       1,956
  APRR SA  1.125%   1/9/26 EUR         7,300       8,799
  APRR SA  1.250%   1/6/27 EUR         7,300       8,907
  APRR SA  1.250%  1/18/28 EUR         1,000       1,227
  APRR SA  1.500%  1/25/30 EUR           600         758
  APRR SA  1.875%   1/6/31 EUR           200         262
  APRR SA  1.625%  1/13/32 EUR         6,400       8,193
  APRR SA  1.500%  1/17/33 EUR           300         380
  Arkea Home Loans SFH SA  2.375%  7/11/23 EUR         4,100       4,952
  Arkea Home Loans SFH SA  0.375%   3/4/24 EUR           800         936
  Arkea Home Loans SFH SA  0.750%  10/5/27 EUR           100         120
  Arkea Home Loans SFH SA  1.500%   6/1/33 EUR         6,800       8,849
  Arkema SA  1.500%  1/20/25 EUR           400         484
  Arkema SA  1.500%  4/20/27 EUR        11,900      14,621
  Atos SE  1.750%   5/7/25 EUR         3,800       4,552
  Autoroutes du Sud de la France SA  2.875%  1/18/23 EUR         2,300       2,761
  Autoroutes du Sud de la France SA  2.950%  1/17/24 EUR         3,500       4,294
  Autoroutes du Sud de la France SA  1.125%  4/20/26 EUR         1,200       1,451
  Autoroutes du Sud de la France SA  1.000%  5/13/26 EUR         7,300       8,774
  Autoroutes du Sud de la France SA  1.250%  1/18/27 EUR           400         488
  Autoroutes du Sud de la France SA  1.375%  6/27/28 EUR         8,200      10,155
  Autoroutes du Sud de la France SA  1.375%  2/21/31 EUR         5,400       6,730
  AXA Bank Europe SCF  0.375%  3/23/23 EUR         4,050       4,729
  AXA Bank Europe SCF  0.500%  4/18/25 EUR        19,100      22,481
  AXA Bank Europe SCF  1.375%  4/18/33 EUR        10,600      13,608
  AXA Home Loan SFH SA  0.010% 10/16/29 EUR         6,800       7,728
  AXA SA  1.125%  5/15/28 EUR         3,068       3,783
  AXA SA  1.375%  10/7/41 EUR         5,000       5,685
  AXA SA  5.125%   7/4/43 EUR         1,527       1,910
  AXA SA  3.375%   7/6/47 EUR        16,331      21,247
  AXA SA  3.875%  5/20/49 EUR         5,000       6,463
  AXA SA  3.250%  5/28/49 EUR        12,679      16,525
  AXA SA  6.686%  7/29/49 GBP         1,227       2,022
  AXA SA  3.941% 11/29/49 EUR         1,316       1,668
  AXA SA  5.453% 11/29/49 GBP         4,193       6,510
  AXA SA  5.625%  1/16/54 GBP         5,980      10,102
  Banque Federative du Credit Mutuel SA  0.500% 11/16/22 EUR        11,500      13,420
  Banque Federative du Credit Mutuel SA  0.750%  6/15/23 EUR        46,200      54,295
  Banque Federative du Credit Mutuel SA  0.443% 10/12/23 JPY       900,000       7,928
  Banque Federative du Credit Mutuel SA  3.000% 11/28/23 EUR         5,600       6,905
  Banque Federative du Credit Mutuel SA  2.250% 12/18/23 GBP         2,100       2,936
  Banque Federative du Credit Mutuel SA  2.625%  3/18/24 EUR         6,800       8,373
  Banque Federative du Credit Mutuel SA  3.000%  5/21/24 EUR        12,834      15,930
  Banque Federative du Credit Mutuel SA  0.250% 10/10/24 JPY     1,200,000      10,520
  Banque Federative du Credit Mutuel SA  0.384% 10/11/24 JPY       200,000       1,759
  Banque Federative du Credit Mutuel SA  1.750% 12/19/24 GBP         5,800       8,041
  Banque Federative du Credit Mutuel SA  1.250%  1/14/25 EUR        30,500      36,597
  Banque Federative du Credit Mutuel SA  0.750%  7/17/25 EUR         3,500       4,135
  Banque Federative du Credit Mutuel SA  3.000%  9/11/25 EUR         3,400       4,309
26


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Banque Federative du Credit Mutuel SA  1.625%  1/19/26 EUR           500         612
  Banque Federative du Credit Mutuel SA  2.375%  3/24/26 EUR        14,400      17,910
  Banque Federative du Credit Mutuel SA  0.750%   6/8/26 EUR        11,400      13,467
  Banque Federative du Credit Mutuel SA  1.500%  10/7/26 GBP           100         136
  Banque Federative du Credit Mutuel SA  1.875%  11/4/26 EUR         3,800       4,642
  Banque Federative du Credit Mutuel SA  2.625%  3/31/27 EUR           900       1,141
  Banque Federative du Credit Mutuel SA  1.625% 11/15/27 EUR         3,200       3,858
  Banque Federative du Credit Mutuel SA  2.500%  5/25/28 EUR         3,400       4,322
  Banque Federative du Credit Mutuel SA  0.250%  6/29/28 EUR        10,000      11,404
  Banque Federative du Credit Mutuel SA  0.250%  7/19/28 EUR        10,200      11,452
  Banque Federative du Credit Mutuel SA  0.625%  11/3/28 EUR        16,000      18,371
  Banque Federative du Credit Mutuel SA  1.875%  6/18/29 EUR         6,800       8,348
  Banque Federative du Credit Mutuel SA  0.750%  1/17/30 EUR         1,400       1,608
  Banque Federative du Credit Mutuel SA  1.250%   6/3/30 EUR         4,100       4,897
  Banque Federative du Credit Mutuel SA  0.625%  2/21/31 EUR         6,800       7,678
  BNP Paribas Cardif SA  4.032% 11/29/49 EUR         1,000       1,296
  BNP Paribas Home Loan SFH SA  0.875% 11/14/24 EUR         3,409       4,056
  BNP Paribas SA  1.125%  1/15/23 EUR           750         882
  BNP Paribas SA  4.500%  3/21/23 EUR           160         197
  BNP Paribas SA  2.875%  9/26/23 EUR         3,784       4,632
  BNP Paribas SA  1.125% 10/10/23 EUR         8,045       9,526
  BNP Paribas SA  1.125% 11/22/23 EUR           500         593
  BNP Paribas SA  2.375%  5/20/24 EUR         5,795       7,122
  BNP Paribas SA  1.000%  6/27/24 EUR         3,409       4,039
  BNP Paribas SA  2.375%  2/17/25 EUR         3,409       4,198
  BNP Paribas SA  1.250%  3/19/25 EUR         6,818       8,151
  BNP Paribas SA  0.500%  7/15/25 EUR         2,700       3,151
  BNP Paribas SA  1.500% 11/17/25 EUR        13,977      16,922
  BNP Paribas SA  3.375%  1/23/26 GBP         1,841       2,685
  BNP Paribas SA  1.125%  6/11/26 EUR        25,227      30,051
  BNP Paribas SA  2.875%  10/1/26 EUR         3,273       4,181
  BNP Paribas SA  2.125%  1/23/27 EUR        13,600      16,771
  BNP Paribas SA  1.875% 12/14/27 GBP         4,100       5,599
  BNP Paribas SA  0.500%  2/19/28 EUR         8,500       9,731
  BNP Paribas SA  0.500%   9/1/28 EUR         5,900       6,731
  BNP Paribas SA  1.125%  4/17/29 EUR         6,800       8,013
  BNP Paribas SA  2.538%  7/13/29 CAD         2,000       1,578
  BNP Paribas SA  0.500%  1/19/30 EUR        10,200      11,470
  BNP Paribas SA  2.375% 11/20/30 EUR         6,800       8,370
  BNP Paribas SA  1.250%  7/13/31 GBP         4,200       5,315
  Bouygues SA  3.625%  1/16/23 EUR         1,700       2,060
  Bouygues SA  5.500%  10/6/26 GBP         4,150       6,764
  Bouygues SA  1.375%   6/7/27 EUR         2,500       3,082
  Bouygues SA  1.125%  7/24/28 EUR         3,400       4,132
  BPCE SA  1.125%  1/18/23 EUR         2,500       2,937
  BPCE SA  4.250%   2/6/23 EUR           100         122
  BPCE SA  0.375%  10/5/23 EUR         9,600      11,228
  BPCE SA  2.875%  1/16/24 EUR         9,100      11,250
  BPCE SA  0.875%  1/31/24 EUR         9,700      11,438
  BPCE SA  1.000%  7/15/24 EUR         5,800       6,896
  BPCE SA  3.000%  7/19/24 EUR         5,800       7,272
  BPCE SA  0.625%  9/26/24 EUR        16,700      19,593
  BPCE SA  1.000%   4/1/25 EUR        10,200      12,084
  BPCE SA  0.250%  1/15/26 EUR         7,300       8,440
  BPCE SA  1.375% 12/23/26 GBP         4,800       6,504
27


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  BPCE SA  0.010%  1/14/27 EUR         3,200       3,631
  BPCE SA  0.500%  9/15/27 EUR         6,800       7,823
  BPCE SA  2.750% 11/30/27 EUR         3,500       4,162
  BPCE SA  1.625%  1/31/28 EUR         5,000       6,116
  BPCE SA  4.500%  4/26/28 AUD         6,100       4,942
  BPCE SA  5.250%  4/16/29 GBP         2,000       3,285
  BPCE SA  0.625%  1/15/30 EUR         9,500      10,979
  BPCE SA  0.250%  1/14/31 EUR         8,500       9,402
  BPCE SFH SA  0.375%  2/10/23 EUR         3,500       4,085
  BPCE SFH SA  2.375% 11/29/23 EUR         3,400       4,141
  BPCE SFH SA  0.375%  2/21/24 EUR         8,600      10,071
  BPCE SFH SA  1.750%  6/27/24 EUR        13,600      16,502
  BPCE SFH SA  1.000%  2/24/25 EUR         9,100      10,886
  BPCE SFH SA  0.398%  4/24/25 EUR        13,600      15,956
  BPCE SFH SA  0.750%   9/2/25 EUR         6,800       8,090
  BPCE SFH SA  0.625%  9/22/27 EUR         3,400       4,050
  BPCE SFH SA  0.010% 11/10/27 EUR         6,800       7,809
  BPCE SFH SA  0.875%  4/13/28 EUR         8,200       9,925
  BPCE SFH SA  1.000%   6/8/29 EUR         3,100       3,800
  BPCE SFH SA  0.625%  5/29/31 EUR        11,900      14,166
4 Caisse Centrale du Credit Immobilier de France SA  0.050%  3/25/25 EUR         6,800       7,932
  Caisse de Refinancement de l'Habitat SA  4.300%  2/24/23 EUR         4,773       5,858
  Caisse de Refinancement de l'Habitat SA  3.900% 10/20/23 EUR         3,409       4,263
  Caisse de Refinancement de l'Habitat SA  3.600%   3/8/24 EUR         7,909       9,957
  Caisse de Refinancement de l'Habitat SA  2.400%  1/17/25 EUR           764         953
  Caisse de Refinancement de l'Habitat SA  0.010%   2/7/28 EUR         6,800       7,800
  Caisse de Refinancement de l'Habitat SA  0.010%  10/8/29 EUR        14,300      16,266
  Caisse Nationale de Reassurance Mutuelle Agricole Groupama  6.000%  1/23/27 EUR        11,300      16,229
  Caisse Nationale de Reassurance Mutuelle Agricole Groupama  3.375%  9/24/28 EUR         5,600       7,271
  Capgemini SE  2.500%   7/1/23 EUR         5,600       6,717
  Capgemini SE  1.000% 10/18/24 EUR           300         356
  Capgemini SE  1.750%  4/18/28 EUR        10,500      13,133
  Capgemini SE  1.125%  6/23/30 EUR         4,000       4,813
  Capgemini SE  2.375%  4/15/32 EUR         7,700      10,268
  Carmila SA  2.375%  9/16/24 EUR         2,800       3,425
  Carmila SA  2.125%   3/7/28 EUR         1,300       1,574
  Carrefour SA  0.875%  6/12/23 EUR           200         234
  Carrefour SA  0.750%  4/26/24 EUR         6,204       7,292
  Carrefour SA  1.250%   6/3/25 EUR        10,979      13,141
  Carrefour SA  1.750%   5/4/26 EUR           800         983
  Carrefour SA  2.625% 12/15/27 EUR         6,800       8,825
  Cie de Financement Foncier SA  2.375% 11/21/22 EUR         3,955       4,707
  Cie de Financement Foncier SA  0.625%  2/10/23 EUR         8,100       9,483
  Cie de Financement Foncier SA  0.250%  4/11/23 EUR           200         233
  Cie de Financement Foncier SA  0.325%  9/12/23 EUR         9,500      11,099
  Cie de Financement Foncier SA  2.000%   5/7/24 EUR         9,700      11,818
  Cie de Financement Foncier SA  0.500%   9/4/24 EUR         6,800       7,992
  Cie de Financement Foncier SA  0.375% 12/11/24 EUR         1,300       1,523
  Cie de Financement Foncier SA  0.750%  1/21/25 EUR         4,700       5,574
  Cie de Financement Foncier SA  4.000% 10/24/25 EUR        17,250      23,129
  Cie de Financement Foncier SA  1.000%   2/2/26 EUR           100         120
  Cie de Financement Foncier SA  0.750%  5/29/26 EUR         1,400       1,671
  Cie de Financement Foncier SA  0.225%  9/14/26 EUR         3,800       4,428
28


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Cie de Financement Foncier SA  5.500%  1/26/27 GBP         1,602       2,656
  Cie de Financement Foncier SA  0.375%   4/9/27 EUR         3,400       3,990
  Cie de Financement Foncier SA  0.010% 11/10/27 EUR         6,800       7,806
  Cie de Financement Foncier SA  0.750%  1/11/28 EUR         7,500       9,004
  Cie de Financement Foncier SA  0.875%  9/11/28 EUR        12,600      15,273
  Cie de Financement Foncier SA  3.875%  4/25/55 EUR         2,727       6,039
  Cie de Saint-Gobain  1.750%   4/3/23 EUR         6,800       8,065
  Cie de Saint-Gobain  1.000%  3/17/25 EUR           800         954
  Cie de Saint-Gobain  2.375%  10/4/27 EUR         3,000       3,879
  Cie de Saint-Gobain  1.875%  9/21/28 EUR         9,900      12,568
  Cie de Saint-Gobain  1.875%  3/15/31 EUR         7,800      10,013
  Cie Financiere et Industrielle des Autoroutes SA  0.375%   2/7/25 EUR         5,200       6,092
  Cie Generale des Etablissements Michelin SCA  1.750%  5/28/27 EUR           100         126
  Cie Generale des Etablissements Michelin SCA  0.000%  11/2/28 EUR         8,500       9,563
  Cie Generale des Etablissements Michelin SCA  2.500%   9/3/38 EUR         3,500       5,154
  CNP Assurances  4.500%  6/10/47 EUR         5,200       7,154
  CNP Assurances  2.500%  6/30/51 EUR         4,200       5,114
  Coentreprise de Transport d'Electricite SA  2.125%  7/29/32 EUR        11,200      14,597
  Covivio  1.875%  5/20/26 EUR           300         372
  Covivio  2.375%  2/20/28 EUR           200         254
  Covivio Hotels SACA  1.875%  9/24/25 EUR         2,000       2,437
  Credit Agricole Assurances SA  4.750%  9/27/48 EUR         1,700       2,374
  Credit Agricole Assurances SA  4.250% 12/31/49 EUR         1,700       2,158
  Credit Agricole Home Loan SFH SA  0.625%  9/11/23 EUR         2,045       2,402
  Credit Agricole Home Loan SFH SA  0.375%  9/30/24 EUR         3,500       4,100
  Credit Agricole Home Loan SFH SA  0.500%   4/3/25 EUR         3,400       4,003
  Credit Agricole Home Loan SFH SA  4.000%  7/16/25 EUR         1,350       1,794
  Credit Agricole Home Loan SFH SA  0.500%  2/19/26 EUR         1,300       1,534
  Credit Agricole Home Loan SFH SA  0.750%   5/5/27 EUR        24,500      29,347
  Credit Agricole Home Loan SFH SA  0.875%  8/11/28 EUR        10,200      12,370
  Credit Agricole Home Loan SFH SA  1.000%  1/16/29 EUR        10,200      12,494
  Credit Agricole Home Loan SFH SA  0.050%  12/6/29 EUR         6,800       7,762
  Credit Agricole Home Loan SFH SA  1.250%  3/24/31 EUR        12,200      15,359
  Credit Agricole Home Loan SFH SA  0.010%  11/3/31 EUR         6,800       7,623
  Credit Agricole Home Loan SFH SA  1.375%   2/3/32 EUR         3,000       3,830
  Credit Agricole Home Loan SFH SA  0.875%   5/6/34 EUR        10,200      12,461
  Credit Agricole Home Loan SFH SA  1.500%  9/28/38 EUR         3,400       4,584
  Credit Agricole Public Sector SCF SA  1.875%   6/7/23 EUR         6,900       8,254
  Credit Agricole Public Sector SCF SA  0.500% 10/10/25 EUR        14,700      17,344
  Credit Agricole Public Sector SCF SA  0.250% 10/31/26 EUR        16,739      19,518
  Credit Agricole Public Sector SCF SA  0.875%   8/2/27 EUR           564         681
  Credit Agricole Public Sector SCF SA  0.010%  9/13/28 EUR         6,800       7,773
  Credit Agricole Public Sector SCF SA  0.625%  3/29/29 EUR         9,500      11,322
  Credit Agricole SA  0.750%  12/1/22 EUR         3,400       3,981
  Credit Agricole SA  3.125%  7/17/23 EUR           600         735
  Credit Agricole SA  7.375% 12/18/23 GBP           700       1,074
  Credit Agricole SA  2.375%  5/20/24 EUR         9,500      11,692
  Credit Agricole SA  1.000%  9/16/24 EUR         1,400       1,668
  Credit Agricole SA  3.125%   2/5/26 EUR         2,800       3,664
  Credit Agricole SA  1.000%  4/22/26 EUR         4,100       4,851
  Credit Agricole SA  1.875% 12/20/26 EUR         6,900       8,545
  Credit Agricole SA  2.625%  3/17/27 EUR        13,704      17,330
29


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Credit Agricole SA  1.375%   5/3/27 EUR         1,000       1,222
  Credit Agricole SA  1.750%   3/5/29 EUR         8,100      10,030
  Credit Agricole SA  2.000%  3/25/29 EUR         3,100       3,803
  Credit Agricole SA  1.000%   7/3/29 EUR        18,400      22,089
  Credit Agricole SA  1.625%   6/5/30 EUR        14,200      16,884
  Credit Agricole SA  0.875%  1/14/32 EUR         4,700       5,415
  Credit Mutuel Arkea SA  1.000%  1/26/23 EUR         5,800       6,815
  Credit Mutuel Arkea SA  1.250%  5/31/24 EUR        14,700      17,494
  Credit Mutuel Arkea SA  1.375%  1/17/25 EUR           100         120
  Credit Mutuel Arkea SA  0.875%   5/7/27 EUR         1,400       1,658
  Credit Mutuel Arkea SA  0.375%  10/3/28 EUR         6,900       7,908
  Credit Mutuel Arkea SA  3.500%   2/9/29 EUR        13,400      18,122
  Credit Mutuel Arkea SA  1.125%  5/23/29 EUR         1,500       1,808
  Credit Mutuel Arkea SA  1.875% 10/25/29 EUR           100         120
  Credit Mutuel Home Loan SFH SA  4.125%  1/16/23 EUR         4,100       4,996
  Credit Mutuel Home Loan SFH SA  2.500%  9/11/23 EUR         2,000       2,430
  Credit Mutuel Home Loan SFH SA  4.125%  1/19/24 EUR         4,100       5,195
  Credit Mutuel Home Loan SFH SA  0.250%  4/30/24 EUR         6,800       7,937
  Credit Mutuel Home Loan SFH SA  1.750%  6/19/24 EUR         6,800       8,247
  Credit Mutuel Home Loan SFH SA  0.625%  2/10/25 EUR         1,400       1,654
  Credit Mutuel Home Loan SFH SA  0.625%   2/2/26 EUR         3,400       4,033
  Credit Mutuel Home Loan SFH SA  0.875%   4/7/26 EUR           644         772
  Credit Mutuel Home Loan SFH SA  0.750%  9/15/27 EUR         5,800       6,958
  Credit Mutuel Home Loan SFH SA  1.000%  1/30/29 EUR         3,800       4,652
  Danone SA  0.424%  11/3/22 EUR         4,200       4,884
  Danone SA  2.600%  6/28/23 EUR         3,800       4,603
  Danone SA  1.250%  5/30/24 EUR           400         478
  Danone SA  0.709%  11/3/24 EUR         5,000       5,913
  Danone SA  1.125%  1/14/25 EUR         6,800       8,125
  Danone SA  0.571%  3/17/27 EUR         6,800       8,003
  Dassault Systemes SE  0.125%  9/16/26 EUR         3,400       3,923
  Dassault Systemes SE  0.375%  9/16/29 EUR         6,800       7,865
5 Dexia Credit Local SA  1.375%  12/7/22 GBP         4,100       5,649
5 Dexia Credit Local SA  0.750%  1/25/23 EUR        23,150      27,133
5 Dexia Credit Local SA  0.625%   2/3/24 EUR        42,250      49,716
5 Dexia Credit Local SA  1.250% 11/26/24 EUR        11,700      14,049
5 Dexia Credit Local SA  0.500%  1/17/25 EUR        17,000      19,971
5 Dexia Credit Local SA  2.125%  2/12/25 GBP         2,000       2,835
5 Dexia Credit Local SA  0.625%  1/17/26 EUR         3,000       3,547
5 Dexia Credit Local SA  1.000% 10/18/27 EUR           200         243
  Edenred  1.375%  3/10/25 EUR           600         720
  Electricite de France SA  2.750%  3/10/23 EUR        13,800      16,604
  Electricite de France SA  4.625%  9/11/24 EUR         6,800       8,886
  Electricite de France SA  0.300% 10/14/24 CHF         2,800       3,083
  Electricite de France SA  4.000% 11/12/25 EUR         1,450       1,932
  Electricite de France SA  1.000% 10/13/26 EUR        11,100      13,276
  Electricite de France SA  4.125%  3/25/27 EUR         6,300       8,768
  Electricite de France SA  4.625%  4/26/30 EUR           200         307
  Electricite de France SA  2.000%  10/2/30 EUR         1,400       1,788
  Electricite de France SA  5.875%  7/18/31 GBP         2,114       3,848
  Electricite de France SA  5.625%  2/21/33 EUR         6,004      10,422
  Electricite de France SA  6.125%   6/2/34 GBP        16,750      32,549
  Electricite de France SA  1.875% 10/13/36 EUR         6,600       8,312
  Electricite de France SA  4.500% 11/12/40 EUR         2,600       4,643
  Electricite de France SA  5.500% 10/17/41 GBP        15,500      31,300
30


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Electricite de France SA  5.375%  1/29/49 EUR         2,300       2,942
  Electricite de France SA  5.875%  7/22/49 GBP         1,700       2,577
  Electricite de France SA  2.000%  12/9/49 EUR        14,400      18,169
  Electricite de France SA  2.625% 12/31/99 EUR         2,400       2,778
  Electricite de France SA  5.000% 12/31/99 EUR         4,100       5,265
  Electricite de France SA  6.000% 12/31/99 GBP         2,500       3,722
  Electricite de France SA  6.000%  1/23/14 GBP         5,000      12,797
  ELO SACA  2.375% 12/12/22 EUR         1,400       1,666
  ELO SACA  2.375%  4/25/25 EUR         5,600       6,835
  Engie Alliance GIE  5.750%  6/24/23 EUR         4,082       5,167
  Engie SA  3.000%   2/1/23 EUR         2,727       3,284
  Engie SA  0.875%  3/27/24 EUR         1,400       1,653
  Engie SA  0.875%  9/19/25 EUR         9,100      10,794
  Engie SA  1.000%  3/13/26 EUR         2,000       2,388
  Engie SA  2.375%  5/19/26 EUR           200         255
  Engie SA  0.375%  6/11/27 EUR        10,100      11,673
  Engie SA  1.750%  3/27/28 EUR         5,100       6,360
  Engie SA  1.375%  6/22/28 EUR         1,100       1,344
  Engie SA  7.000% 10/30/28 GBP         2,650       4,859
  Engie SA  2.125%  3/30/32 EUR        10,500      13,679
  Engie SA  2.000%  9/28/37 EUR         1,800       2,361
  Engie SA  1.250% 10/24/41 EUR         6,000       7,052
  Engie SA  3.875%   6/2/49 EUR         2,500       3,135
  Engie SA  5.000%  10/1/60 GBP         3,450       7,917
  Engie SA  1.375% 12/31/99 EUR         4,200       4,905
  Engie SA  5.950%  3/16/11 EUR         2,163       5,019
  EssilorLuxottica SA  0.000%  5/27/23 EUR           200         232
  EssilorLuxottica SA  2.625%  2/10/24 EUR         6,273       7,720
  EssilorLuxottica SA  0.125%  5/27/25 EUR         6,800       7,903
  EssilorLuxottica SA  0.500%   6/5/28 EUR        13,600      15,971
  Eutelsat SA  2.000%  10/2/25 EUR         3,400       4,058
  Eutelsat SA  2.250%  7/13/27 EUR           800         962
  Eutelsat SA  1.500% 10/13/28 EUR         2,000       2,337
  Gecina SA  1.500%  1/20/25 EUR         6,300       7,625
  Gecina SA  1.375%  6/30/27 EUR           100         123
  Gecina SA  1.375%  1/26/28 EUR           900       1,108
  Gecina SA  1.000%  1/30/29 EUR         1,500       1,804
  Gecina SA  0.875%  6/30/36 EUR         7,200       8,274
  GELF Bond Issuer I SA  1.125%  7/18/29 EUR         2,863       3,346
  Holding d'Infrastructures de Transport SASU  2.250%  3/24/25 EUR         2,900       3,576
  Holding d'Infrastructures de Transport SASU  1.625% 11/27/27 EUR         1,600       1,945
  Holding d'Infrastructures et des Metiers de l'Environnement  0.625%  9/16/28 EUR         7,000       7,984
  HSBC Continental Europe SA  0.250%  5/17/24 EUR         2,000       2,332
  HSBC Continental Europe SA  0.100%   9/3/27 EUR         6,900       7,834
  HSBC SFH France SA  2.000% 10/16/23 EUR         1,700       2,050
  ICADE  1.125% 11/17/25 EUR         7,300       8,728
  ICADE  0.625%  1/18/31 EUR         5,000       5,513
  Imerys SA  2.000% 12/10/24 EUR           600         730
  Imerys SA  1.500%  1/15/27 EUR           900       1,089
  Indigo Group SAS  1.625%  4/19/28 EUR           500         601
  In'li SA  1.125%   7/2/29 EUR         1,000       1,194
  JCDecaux SA  1.000%   6/1/23 EUR         6,800       7,978
  JCDecaux SA  2.625%  4/24/28 EUR         3,400       4,332
  Kering SA  1.250%  5/10/26 EUR         6,300       7,644
31


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Klepierre SA  1.000%  4/17/23 EUR         1,400       1,641
  Klepierre SA  1.875%  2/19/26 EUR         5,200       6,412
  Klepierre SA  1.375%  2/16/27 EUR         1,000       1,213
  Klepierre SA  0.625%   7/1/30 EUR         4,100       4,660
  Klepierre SA  1.250%  9/29/31 EUR           200         238
  La Banque Postale Home Loan SFH SA  2.375%  1/15/24 EUR         3,200       3,908
  La Banque Postale Home Loan SFH SA  0.625%  6/23/27 EUR         8,500      10,118
  La Banque Postale Home Loan SFH SA  0.875%   2/7/28 EUR         6,100       7,383
  La Banque Postale Home Loan SFH SA  1.000%  10/4/28 EUR         3,400       4,156
  La Banque Postale SA  1.000% 10/16/24 EUR         3,400       4,031
  La Banque Postale SA  2.750% 11/19/27 EUR         2,700       3,209
  La Banque Postale SA  3.000%   6/9/28 EUR         1,400       1,845
  La Banque Postale SA  2.000%  7/13/28 EUR         6,400       8,045
  La Banque Postale SA  1.375%  4/24/29 EUR         6,800       8,234
  La Mondiale SAM  5.050% 12/29/49 EUR         4,636       6,210
  La Poste SA  2.750% 11/26/24 EUR         2,800       3,528
  La Poste SA  1.125%   6/4/25 EUR         6,800       8,170
  La Poste SA  0.625% 10/21/26 EUR         6,600       7,778
  La Poste SA  0.375%  9/17/27 EUR        13,500      15,683
  La Poste SA  1.450% 11/30/28 EUR         1,400       1,741
  La Poste SA  0.000%  7/18/29 EUR         1,700       1,889
  La Poste SA  1.375%  4/21/32 EUR        30,700      37,680
  Legrand SA  0.750%   7/6/24 EUR           200         236
  Legrand SA  1.000%   3/6/26 EUR           100         120
  Legrand SA  1.875% 12/16/27 EUR           100         126
  Legrand SA  1.875%   7/6/32 EUR         1,100       1,435
  LVMH Moet Hennessy Louis Vuitton SE  1.000%  6/14/22 GBP         6,137       8,417
  LVMH Moet Hennessy Louis Vuitton SE  0.750%  5/26/24 EUR         6,871       8,105
  LVMH Moet Hennessy Louis Vuitton SE  1.125%  2/11/27 GBP         5,900       7,969
  LVMH Moet Hennessy Louis Vuitton SE  0.125%  2/11/28 EUR         6,800       7,831
  Mercialys SA  1.787%  3/31/23 EUR         3,500       4,129
  MMS USA Investments Inc.  0.625%  6/13/25 EUR        10,000      11,696
  MMS USA Investments Inc.  1.250%  6/13/28 EUR           200         241
  MMS USA Investments Inc.  1.750%  6/13/31 EUR         4,100       5,075
  Orange SA  2.500%   3/1/23 EUR           200         240
  Orange SA  0.750%  9/11/23 EUR         1,200       1,409
  Orange SA  3.125%   1/9/24 EUR           300         372
  Orange SA  1.125%  7/15/24 EUR         6,400       7,618
  Orange SA  1.000%  5/12/25 EUR         6,900       8,217
  Orange SA  1.000%  9/12/25 EUR         9,200      10,979
  Orange SA  5.250%  12/5/25 GBP           965       1,525
  Orange SA  0.000%   9/4/26 EUR         2,700       3,084
  Orange SA  0.875%   2/3/27 EUR         1,300       1,548
  Orange SA  1.250%   7/7/27 EUR         5,400       6,556
  Orange SA  1.375%  3/20/28 EUR        24,600      30,192
  Orange SA  8.125% 11/20/28 GBP         4,431       8,604
  Orange SA  2.000%  1/15/29 EUR           200         256
  Orange SA  1.375%  1/16/30 EUR         1,600       1,973
  Orange SA  1.875%  9/12/30 EUR        11,900      15,245
  Orange SA  3.250%  1/15/32 GBP        11,300      17,109
  Orange SA  1.625%   4/7/32 EUR         6,800       8,550
  Orange SA  0.500%   9/4/32 EUR        13,100      14,705
  Orange SA  8.125%  1/28/33 EUR           483         990
  Orange SA  5.625%  1/23/34 GBP           400         755
  Orange SA  1.375%   9/4/49 EUR         2,500       3,019
32


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Orange SA  5.000% 10/29/49 EUR         8,413      11,454
  Orange SA  5.750% 10/29/49 GBP         4,773       6,895
  Orange SA  5.250% 12/29/49 EUR         6,610       8,426
  Orange SA  2.375% 12/31/99 EUR         4,100       4,945
  Pernod Ricard SA  0.000% 10/24/23 EUR           200         232
  Pernod Ricard SA  1.125%   4/7/25 EUR           600         718
  Pernod Ricard SA  1.500%  5/18/26 EUR         2,000       2,447
  Pernod Ricard SA  1.750%   4/8/30 EUR           200         255
  Pernod Ricard SA  0.875% 10/24/31 EUR         5,400       6,434
  PSA Tresorerie GIE  6.000%  9/19/33 EUR         2,693       4,582
  Publicis Groupe SA  1.125% 12/16/21 EUR         4,800       5,554
  Publicis Groupe SA  0.500%  11/3/23 EUR           400         468
  RCI Banque SA  1.875%  11/8/22 GBP         1,227       1,689
  RCI Banque SA  1.000%  5/17/23 EUR         4,364       5,105
  RCI Banque SA  0.500%  9/15/23 EUR         5,740       6,679
  RCI Banque SA  1.375%   3/8/24 EUR         7,499       8,888
  RCI Banque SA  1.625%  4/11/25 EUR        11,409      13,639
  RCI Banque SA  1.750%  4/10/26 EUR         1,551       1,870
  RCI Banque SA  1.625%  5/26/26 EUR           886       1,066
  RTE Reseau de Transport d'Electricite SADIR  1.625% 11/27/25 EUR         8,700      10,627
  RTE Reseau de Transport d'Electricite SADIR  0.000%   9/9/27 EUR        10,200      11,539
  RTE Reseau de Transport d'Electricite SADIR  2.750%  6/20/29 EUR           800       1,078
  RTE Reseau de Transport d'Electricite SADIR  1.500%  9/27/30 EUR         3,400       4,215
  RTE Reseau de Transport d'Electricite SADIR  2.000%  4/18/36 EUR           500         660
  RTE Reseau de Transport d'Electricite SADIR  1.875% 10/23/37 EUR         4,100       5,394
  RTE Reseau de Transport d'Electricite SADIR  1.125%   7/8/40 EUR        10,000      11,696
  SANEF SA  0.950% 10/19/28 EUR         1,200       1,405
  Sanofi  0.500%  3/21/23 EUR         9,800      11,434
  Sanofi  2.500% 11/14/23 EUR         3,400       4,126
  Sanofi  1.000%   4/1/25 EUR        10,200      12,191
  Sanofi  1.750%  9/10/26 EUR         4,700       5,871
  Sanofi  0.500%  1/13/27 EUR           500         589
  Sanofi  1.125%   4/5/28 EUR         7,000       8,555
  Sanofi  0.875%  3/21/29 EUR         6,800       8,178
  Sanofi  1.500%   4/1/30 EUR        10,200      12,865
  Sanofi  1.875%  3/21/38 EUR         4,800       6,619
  SCOR SE  3.000%   6/8/46 EUR         2,400       3,048
  SCOR SE  3.625%  5/27/48 EUR         6,700       9,017
  SCOR SE  1.375%  9/17/51 EUR         3,000       3,421
  Societe Generale SA  0.750%  5/26/23 EUR         3,400       3,992
  Societe Generale SA  4.000%   6/7/23 EUR         3,000       3,682
  Societe Generale SA  1.250%  2/15/24 EUR        12,600      14,983
  Societe Generale SA  1.125%  1/23/25 EUR         7,700       9,156
  Societe Generale SA  2.625%  2/27/25 EUR           100         124
  Societe Generale SA  0.750%  1/25/27 EUR        11,500      13,355
  Societe Generale SA  0.847%  5/26/27 JPY     1,400,000      12,240
  Societe Generale SA  1.250%  12/7/27 GBP         5,000       6,519
  Societe Generale SA  2.125%  9/27/28 EUR         7,500       9,387
  Societe Generale SA  0.500%  6/12/29 EUR         7,600       8,555
  Societe Generale SA  1.250%  6/12/30 EUR         5,600       6,587
  Societe Generale SCF SA  4.250%   2/3/23 EUR         3,100       3,792
  Societe Generale SFH SA  0.500%  1/20/23 EUR         1,100       1,285
  Societe Generale SFH SA  0.250%  9/11/23 EUR           900       1,050
  Societe Generale SFH SA  2.000%  4/29/24 EUR         9,100      11,081
  Societe Generale SFH SA  0.500%  1/30/25 EUR         6,100       7,177
33


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Societe Generale SFH SA  0.500%  1/28/26 EUR         7,600       8,967
  Societe Generale SFH SA  0.750%  1/19/28 EUR         6,800       8,165
  Societe Generale SFH SA  0.010%  2/11/30 EUR         2,500       2,839
  Societe Generale SFH SA  0.010%   2/5/31 EUR        13,900      15,704
  Sodexo SA  2.500%  6/24/26 EUR           483         618
  Sodexo SA  1.750%  6/26/28 GBP         5,455       7,487
  Sogecap SA  4.125% 12/29/49 EUR           100         129
  Suez SA  2.750%  10/9/23 EUR         2,000       2,439
  Suez SA  5.500%  7/22/24 EUR         3,200       4,259
  Suez SA  1.000%   4/3/25 EUR         6,900       8,208
  Suez SA  1.750%  9/10/25 EUR           500         612
  Suez SA  1.250%   4/2/27 EUR        13,600      16,440
  Suez SA  1.500%   4/3/29 EUR         6,600       8,139
  Suez SA  1.625%  9/17/30 EUR           600         750
  Suez SA  5.375%  12/2/30 GBP           900       1,578
  TDF Infrastructure SAS  2.500%   4/7/26 EUR           700         865
  Terega SA  2.200%   8/5/25 EUR           100         124
  Terega SA  0.875%  9/17/30 EUR         3,400       3,917
  TotalEnergies Capital Canada Ltd.  2.125%  9/18/29 EUR         9,000      11,633
  TotalEnergies Capital International SA  2.125%  3/15/23 EUR         2,700       3,227
  TotalEnergies Capital International SA  0.625%  10/4/24 EUR         8,000       9,430
  TotalEnergies Capital International SA  1.375%  3/19/25 EUR         9,200      11,124
  TotalEnergies Capital International SA  1.750%   7/7/25 GBP         6,315       8,788
  TotalEnergies Capital International SA  2.875% 11/19/25 EUR         5,300       6,810
  TotalEnergies Capital International SA  2.500%  3/25/26 EUR         3,000       3,841
  TotalEnergies Capital International SA  1.491%   4/8/27 EUR         6,800       8,342
  TotalEnergies Capital International SA  0.696%  5/31/28 EUR        15,200      17,932
  TotalEnergies Capital International SA  1.491%   9/4/30 EUR           800         994
  TotalEnergies Capital International SA  1.994%   4/8/32 EUR         7,000       9,121
  TotalEnergies Capital International SA  1.618%  5/18/40 EUR         6,800       8,664
  TotalEnergies SE  2.625% 12/29/49 EUR        16,784      20,387
  TotalEnergies SE  2.708% 12/29/49 EUR         9,272      11,043
  TotalEnergies SE  3.369% 12/29/49 EUR         4,909       6,230
  TotalEnergies SE  1.625% 12/31/99 EUR         8,470       9,754
  TotalEnergies SE  1.750% 12/31/99 EUR         5,522       6,511
  TotalEnergies SE  2.000% 12/31/99 EUR         2,000       2,300
  TotalEnergies SE  2.125% 12/31/99 EUR         3,000       3,360
  UMG Groupe VYV  1.625%   7/2/29 EUR         2,700       3,301
  Unibail-Rodamco-Westfield SE  2.500%  2/26/24 EUR         1,289       1,581
  Unibail-Rodamco-Westfield SE  1.000%  3/14/25 EUR         6,818       8,118
  Unibail-Rodamco-Westfield SE  1.125%  9/15/25 EUR         7,700       9,172
  Unibail-Rodamco-Westfield SE  1.375%   3/9/26 EUR           471         569
  Unibail-Rodamco-Westfield SE  2.500%   6/4/26 EUR           500         637
  Unibail-Rodamco-Westfield SE  1.000%  2/27/27 EUR         2,400       2,850
  Unibail-Rodamco-Westfield SE  0.625%   5/4/27 EUR        13,600      15,740
  Unibail-Rodamco-Westfield SE  1.500%  5/29/29 EUR           300         362
  Unibail-Rodamco-Westfield SE  1.375%  4/15/30 EUR         5,113       6,100
  Unibail-Rodamco-Westfield SE  1.875%  1/15/31 EUR        10,200      12,528
  Unibail-Rodamco-Westfield SE  1.375%  12/4/31 EUR         3,000       3,508
  Unibail-Rodamco-Westfield SE  0.875%  3/29/32 EUR         8,500       9,382
  Unibail-Rodamco-Westfield SE  2.000%  6/29/32 EUR         1,900       2,339
  Unibail-Rodamco-Westfield SE  1.375%  5/25/33 EUR         3,000       3,420
  Unibail-Rodamco-Westfield SE  2.000%  4/28/36 EUR           886       1,082
  Unibail-Rodamco-Westfield SE  2.250%  5/14/38 EUR           800         997
  Unibail-Rodamco-Westfield SE  1.750%   7/1/49 EUR         4,900       5,469
34


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Veolia Environnement SA  0.892%  1/14/24 EUR         8,700      10,241
  Veolia Environnement SA  1.590%  1/10/28 EUR         4,100       5,077
  Veolia Environnement SA  0.927%   1/4/29 EUR         3,400       4,041
  Veolia Environnement SA  6.125% 11/25/33 EUR         2,986       5,486
  Vinci SA  1.000%  9/26/25 EUR         3,400       4,070
  Vinci SA  2.250%  3/15/27 GBP           800       1,142
  Vinci SA  1.625%  1/18/29 EUR         7,400       9,298
  Vinci SA  1.750%  9/26/30 EUR         4,600       5,931
  Vinci SA  2.750%  9/15/34 GBP           800       1,210
  Vivendi SE  1.875%  5/26/26 EUR           400         499
  Vivendi SE  1.125% 12/11/28 EUR         3,800       4,556
                   3,547,322
Germany (2.4%)                              
  Aareal Bank AG  0.125%   2/1/24 EUR         3,409       3,970
  Aareal Bank AG  0.375%  7/15/25 EUR         1,500       1,760
  Allianz Finance II BV  0.875%  1/15/26 EUR         1,400       1,672
  Allianz Finance II BV  3.000%  3/13/28 EUR         1,900       2,584
  Allianz Finance II BV  0.500%  1/14/31 EUR         8,500       9,884
  Allianz SE  2.241%   7/7/45 EUR         4,600       5,610
  Allianz SE  4.750% 12/31/49 EUR         3,700       4,625
  Allianz SE  2.121%   7/8/50 EUR         2,700       3,281
  Allianz SE  3.375% 12/31/99 EUR         5,800       7,205
  alstria office REIT-AG  2.125%  4/12/23 EUR           200         237
  alstria office REIT-AG  1.500% 11/15/27 EUR        16,800      19,948
  Aroundtown SA  1.000%   1/7/25 EUR           500         587
  Aroundtown SA  0.625%   7/9/25 EUR         1,400       1,624
  Aroundtown SA  4.625%  9/18/25 CAD           835         715
  Aroundtown SA  1.875%  1/19/26 EUR        13,600      16,567
  Aroundtown SA  1.500%  5/28/26 EUR         6,600       7,915
  Aroundtown SA  0.000%  7/16/26 EUR         4,000       4,478
  Aroundtown SA  2.000%  11/2/26 EUR         4,600       5,644
  Aroundtown SA  1.625%  1/31/28 EUR         2,900       3,471
  Aroundtown SA  1.450%   7/9/28 EUR         9,200      10,877
  Aroundtown SA  3.000% 10/16/29 GBP         6,068       8,693
  Aroundtown SA  1.625% 12/31/99 EUR         2,000       2,207
  Aroundtown SA  2.125% 12/31/99 EUR         2,700       3,119
  Aroundtown SA  3.375% 12/31/99 EUR         2,000       2,397
  BASF SE  1.375%  6/21/22 GBP           100         138
  BASF SE  2.000%  12/5/22 EUR         6,818       8,088
  BASF SE  0.875%  10/6/23 GBP           500         682
  BASF SE  1.750%  3/11/25 GBP           644         896
  BASF SE  0.875% 11/15/27 EUR           100         120
  BASF SE  1.500%  5/22/30 EUR         5,455       6,901
  BASF SE  0.875%  10/6/31 EUR           483         586
  BASF SE  1.450% 12/13/32 EUR        11,200      14,292
  Bayer AG  0.050%  1/12/25 EUR         8,500       9,792
  Bayer AG  0.750%   1/6/27 EUR         8,800      10,308
  Bayer AG  0.625%  7/12/31 EUR         5,900       6,557
  Bayer AG  1.375%   7/6/32 EUR         6,800       8,019
  Bayer AG  1.000%  1/12/36 EUR         5,900       6,457
  Bayer Capital Corp. BV  0.625% 12/15/22 EUR        10,200      11,886
  Bayer Capital Corp. BV  1.500%  6/26/26 EUR           500         606
  Bayer Capital Corp. BV  2.125% 12/15/29 EUR         6,900       8,774
  Bayerische Landesbank  2.000%  7/11/22 EUR           564         663
  Bayerische Landesbank  0.350%  12/1/22 EUR         3,409       3,973
35


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Bayerische Landesbank  1.625%  4/18/23 EUR         3,409       4,055
  Bayerische Landesbank  0.500%  3/19/25 EUR         6,818       8,035
  Bayerische Landesbank  0.625%  7/19/27 EUR         1,363       1,625
  Bayerische Landesbodenkreditanstalt  1.875%  1/25/23 EUR         4,288       5,099
  Bayerische Landesbodenkreditanstalt  1.750%  4/24/24 EUR         2,045       2,481
  Berlin Hyp AG  0.000% 11/29/21 EUR           800         925
  Berlin Hyp AG  0.125% 10/23/23 EUR        17,387      20,241
  Berlin Hyp AG  0.125%   1/5/24 EUR         3,409       3,970
  Berlin Hyp AG  0.375%   5/3/24 EUR         5,325       6,240
  Berlin Hyp AG  1.250%  1/22/25 EUR           400         479
  Berlin Hyp AG  0.625% 10/22/25 EUR           500         593
  Berlin Hyp AG  1.125% 10/25/27 EUR           100         120
  Berlin Hyp AG  0.250%  5/19/33 EUR         8,880      10,178
  Bertelsmann SE & Co. KGaA  2.625%   8/2/22 EUR         1,300       1,537
  Bertelsmann SE & Co. KGaA  1.750% 10/14/24 EUR         4,000       4,850
  Bertelsmann SE & Co. KGaA  2.000%   4/1/28 EUR         5,400       6,836
  BMW Canada Inc.  0.630%  1/16/23 CAD         2,000       1,607
  BMW Canada Inc.  0.990%  1/14/25 CAD         2,000       1,576
  BMW Finance NV  2.375%  1/24/23 EUR           400         478
  BMW Finance NV  0.000%  4/14/23 EUR        15,892      18,436
  BMW Finance NV  0.375%  7/10/23 EUR         7,159       8,360
  BMW Finance NV  0.625%  10/6/23 EUR         7,636       8,963
  BMW Finance NV  0.750%  4/15/24 EUR           614         725
  BMW Finance NV  1.000% 11/14/24 EUR         8,031       9,570
  BMW Finance NV  0.875%   4/3/25 EUR         6,273       7,457
  BMW Finance NV  1.000%  8/29/25 EUR         5,441       6,510
  BMW Finance NV  0.000%  1/11/26 EUR         8,470       9,742
  BMW Finance NV  0.375%  1/14/27 EUR        10,227      11,919
  BMW Finance NV  1.500%   2/6/29 EUR        10,794      13,522
  BMW Finance NV  0.200%  1/11/33 EUR         5,929       6,493
  BMW International Investment BV  1.875%  9/11/23 GBP           300         416
  Brenntag Finance BV  1.125%  9/27/25 EUR         2,454       2,930
  Commerzbank AG  0.250%  1/26/22 EUR         2,727       3,158
  Commerzbank AG  0.500%  9/13/23 EUR           681         795
  Commerzbank AG  0.050%  7/11/24 EUR         3,409       3,961
  Commerzbank AG  0.625%  8/28/24 EUR         6,818       7,998
  Commerzbank AG  0.625%  3/13/25 EUR         6,273       7,420
  Commerzbank AG  0.625%  5/28/25 EUR         6,137       7,262
  Commerzbank AG  0.875%   9/8/25 EUR         6,886       8,233
  Commerzbank AG  1.000%   3/4/26 EUR        10,296      12,234
  Commerzbank AG  0.500%   6/9/26 EUR        10,227      12,087
  Commerzbank AG  0.500%  12/4/26 EUR        10,227      11,860
  Commerzbank AG  0.125% 12/15/26 EUR         8,045       9,331
  Commerzbank AG  0.625%  8/24/27 EUR           750         894
  Commerzbank AG  1.500%  8/28/28 EUR            45          55
  Commerzbank AG  0.010%  3/11/30 EUR         6,137       6,977
  Commerzbank AG  1.250%   1/9/34 EUR         4,773       6,088
  Covestro AG  1.750%  9/25/24 EUR         6,818       8,241
  Covestro AG  0.875%   2/3/26 EUR         1,599       1,891
  Daimler AG  0.000%   2/8/24 EUR           644         746
  Daimler AG  0.375%  11/8/26 EUR        10,227      11,908
  Daimler AG  1.000% 11/15/27 EUR         7,000       8,401
  Daimler AG  0.750%   2/8/30 EUR         6,137       7,211
  Daimler AG  0.750%  9/10/30 EUR         3,409       4,015
  Daimler AG  2.000%  2/27/31 EUR         4,636       6,014
36


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Daimler AG  1.125%  11/6/31 EUR         6,818       8,187
  Daimler AG  1.125%   8/8/34 EUR         6,137       7,346
  Daimler AG  2.125%   7/3/37 EUR         4,235       5,669
  Daimler Canada Finance Inc.  2.540%  8/21/23 CAD         2,000       1,646
  Daimler Canada Finance Inc.  2.970%  3/13/24 CAD         2,450       2,035
  Daimler Canada Finance Inc.  1.650%  9/22/25 CAD         1,840       1,464
  Daimler International Finance BV  0.625%  2/27/23 EUR         7,416       8,673
  Daimler International Finance BV  2.000%   9/4/23 GBP           500         693
  Daimler International Finance BV  0.875%   4/9/24 EUR         2,011       2,378
  Daimler International Finance BV  2.625%   4/7/25 EUR        14,442      18,136
  Daimler International Finance BV  1.000% 11/11/25 EUR        14,318      17,111
  Daimler International Finance BV  1.375%  6/26/26 EUR        11,864      14,486
  Daimler International Finance BV  2.000%  8/22/26 EUR        11,880      14,895
  Daimler International Finance BV  0.625%   5/6/27 EUR        10,227      12,031
  DekaBank Deutsche Girozentrale  0.300% 11/20/26 EUR         3,500       4,074
  Deutsche Apotheker-und Aerztebank eG  0.750%  10/5/27 EUR           600         720
  Deutsche Bahn Finance GmbH  2.500%  9/12/23 EUR        12,613      15,320
  Deutsche Bahn Finance GmbH  3.000%   3/8/24 EUR         2,727       3,398
  Deutsche Bahn Finance GmbH  1.500%  8/26/24 CHF           680         780
  Deutsche Bahn Finance GmbH  3.500%  9/27/24 AUD         3,030       2,380
  Deutsche Bahn Finance GmbH  1.375%   7/7/25 GBP         9,676      13,347
  Deutsche Bahn Finance GmbH  1.250% 10/23/25 EUR         1,705       2,067
  Deutsche Bahn Finance GmbH  1.875%  2/13/26 GBP           955       1,343
  Deutsche Bahn Finance GmbH  3.125%  7/24/26 GBP           500         745
  Deutsche Bahn Finance GmbH  0.500%   4/9/27 EUR         3,832       4,511
  Deutsche Bahn Finance GmbH  1.125% 12/18/28 EUR           508         623
  Deutsche Bahn Finance GmbH  2.750%  3/19/29 EUR         2,387       3,258
  Deutsche Bahn Finance GmbH  0.375%  6/23/29 EUR         1,943       2,252
  Deutsche Bahn Finance GmbH  1.625%  11/6/30 EUR           100         128
  Deutsche Bahn Finance GmbH  1.375%  3/28/31 EUR         2,045       2,548
  Deutsche Bahn Finance GmbH  0.875%  7/11/31 EUR         1,841       2,201
  Deutsche Bahn Finance GmbH  0.200%  5/20/33 CHF         6,000       6,433
  Deutsche Bahn Finance GmbH  1.625%  8/16/33 EUR         6,682       8,504
  Deutsche Bahn Finance GmbH  0.750%  7/16/35 EUR         6,202       7,139
  Deutsche Bahn Finance GmbH  0.625%  4/15/36 EUR         3,600       4,045
  Deutsche Bahn Finance GmbH  1.375%  4/16/40 EUR         6,896       8,556
  Deutsche Bahn Finance GmbH  0.625%  12/8/50 EUR        14,612      15,025
  Deutsche Bahn Finance GmbH  0.950% 12/31/99 EUR         2,800       3,232
  Deutsche Bank AG  2.375%  1/11/23 EUR         8,000       9,530
  Deutsche Bank AG  1.125%  8/30/23 EUR        17,270      20,422
  Deutsche Bank AG  0.625% 12/19/23 CHF         7,840       8,636
  Deutsche Bank AG  3.875%  2/12/24 GBP           100         143
  Deutsche Bank AG  0.250%   3/8/24 EUR         6,341       7,403
  Deutsche Bank AG  2.625% 12/16/24 GBP         6,800       9,512
  Deutsche Bank AG  2.625%  2/12/26 EUR         6,500       8,141
  Deutsche Bank AG  0.000% 10/15/26 EUR         2,841       3,112
  Deutsche Bank AG  1.625%  1/20/27 EUR         1,800       2,166
  Deutsche Bank AG  0.750%  2/17/27 EUR         7,000       8,085
  Deutsche Bank AG  1.750%  1/17/28 EUR         8,500      10,277
  Deutsche Bank AG  0.250%  8/31/28 EUR         3,409       3,965
  Deutsche Bank AG  1.750% 11/19/30 EUR         9,900      11,892
  Deutsche Bank AG  1.375%  2/17/32 EUR         5,000       5,765
  Deutsche Boerse AG  1.625%  10/8/25 EUR         2,794       3,430
  Deutsche Boerse AG  1.125%  3/26/28 EUR         6,818       8,321
  Deutsche Hypothekenbank AG  0.250%  2/22/23 EUR        10,200      11,885
37


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Deutsche Hypothekenbank AG  0.125% 11/23/23 EUR           100         116
  Deutsche Hypothekenbank AG  0.250%  5/17/24 EUR        10,100      11,795
  Deutsche Hypothekenbank AG  0.500%  6/29/26 EUR           100         118
  Deutsche Kreditbank AG  1.625%  6/18/24 EUR         1,300       1,572
  Deutsche Kreditbank AG  0.500%  3/19/27 EUR         1,000       1,183
  Deutsche Pfandbriefbank AG  1.875%  1/21/22 EUR         6,818       7,923
  Deutsche Pfandbriefbank AG  0.010% 10/16/25 EUR        13,600      15,728
  Deutsche Pfandbriefbank AG  0.625%  8/30/27 EUR        27,900      33,234
  Deutsche Pfandbriefbank AG  2.375%  5/29/28 EUR         4,159       5,502
  Deutsche Pfandbriefbank AG  1.250%  4/20/35 EUR         6,818       8,705
  Deutsche Post AG  2.750%  10/9/23 EUR         1,363       1,667
  Deutsche Post AG  2.875% 12/11/24 EUR         1,363       1,723
  Deutsche Post AG  0.375%  5/20/26 EUR         2,259       2,640
  Deutsche Post AG  1.625%  12/5/28 EUR        13,925      17,553
  Deutsche Post AG  0.750%  5/20/29 EUR         4,235       5,045
  Deutsche Telekom AG  0.500%   7/5/27 EUR        25,367      29,627
  Deutsche Telekom AG  1.375%   7/5/34 EUR         2,045       2,473
  Deutsche Telekom AG  2.250%  3/29/39 EUR         2,897       3,949
  Deutsche Telekom AG  1.750%  12/9/49 EUR         3,409       4,223
  Deutsche Telekom International Finance BV  0.625%  12/1/22 EUR        13,704      15,997
  Deutsche Telekom International Finance BV  0.625%   4/3/23 EUR         8,181       9,566
  Deutsche Telekom International Finance BV  2.750% 10/24/24 EUR         2,997       3,768
  Deutsche Telekom International Finance BV  4.875%  4/22/25 EUR         6,307       8,503
  Deutsche Telekom International Finance BV  2.500% 10/10/25 GBP        10,227      14,631
  Deutsche Telekom International Finance BV  1.375%  12/1/25 EUR        15,044      18,246
  Deutsche Telekom International Finance BV  1.125%  5/22/26 EUR         2,100       2,527
  Deutsche Telekom International Finance BV  1.375%  1/30/27 EUR           200         244
  Deutsche Telekom International Finance BV  3.250%  1/17/28 EUR           100         138
  Deutsche Telekom International Finance BV  1.500%   4/3/28 EUR         3,569       4,408
  Deutsche Telekom International Finance BV  8.875% 11/27/28 GBP           614       1,226
  Deutsche Telekom International Finance BV  2.000%  12/1/29 EUR         5,932       7,653
  Deutsche Telekom International Finance BV  7.500%  1/24/33 EUR           614       1,205
  Deutsche Wohnen SE  1.000%  4/30/25 EUR         6,800       8,069
  DZ HYP AG  0.125%  9/30/22 EUR         8,863      10,300
  DZ HYP AG  0.625%   6/5/24 EUR           100         118
  DZ HYP AG  0.375%   6/6/25 EUR         1,400       1,644
  DZ HYP AG  0.500% 11/13/25 EUR        10,909      12,882
  DZ HYP AG  0.750%   2/2/26 EUR         6,800       8,116
  DZ HYP AG  0.375%  3/31/26 EUR         4,227       4,969
  DZ HYP AG  0.100%  8/31/26 EUR           800         928
  DZ HYP AG  0.500%  9/30/26 EUR         6,818       8,062
  DZ HYP AG  0.500%   4/1/27 EUR         3,400       4,024
  DZ HYP AG  0.750%  6/30/27 EUR           818         982
  DZ HYP AG  0.625%  8/30/27 EUR         6,800       8,112
  DZ HYP AG  0.875%  1/30/29 EUR         6,818       8,291
  DZ HYP AG  0.010%  4/20/29 EUR        50,000      57,176
  DZ HYP AG  0.050%  6/29/29 EUR         6,818       7,805
  DZ HYP AG  0.875%  1/18/30 EUR         8,300      10,114
  DZ HYP AG  0.010%  3/29/30 EUR        16,941      19,262
  DZ HYP AG  0.875%  4/17/34 EUR         6,818       8,355
  E.ON International Finance BV  5.625%  12/6/23 GBP           954       1,423
  E.ON International Finance BV  1.000%  4/13/25 EUR         3,409       4,054
  E.ON International Finance BV  1.625%  5/30/26 EUR         8,727      10,715
  E.ON International Finance BV  1.500%  7/31/29 EUR        34,554      42,776
  E.ON International Finance BV  6.250%   6/3/30 GBP        14,591      26,444
38


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  E.ON International Finance BV  6.375%   6/7/32 GBP         4,295       8,174
  E.ON International Finance BV  4.750%  1/31/34 GBP         3,600       6,212
  E.ON International Finance BV  5.875% 10/30/37 GBP         7,800      15,628
  E.ON International Finance BV  6.750%  1/27/39 GBP           850       1,866
  E.ON International Finance BV  6.125%   7/6/39 GBP         2,050       4,296
  E.ON SE  0.375%  4/20/23 EUR         2,897       3,376
  E.ON SE  0.875%  5/22/24 EUR           500         591
  E.ON SE  0.250% 10/24/26 EUR        10,227      11,798
  E.ON SE  0.375%  9/29/27 EUR         3,409       3,949
  E.ON SE  0.750%  2/20/28 EUR         6,699       7,916
  E.ON SE  1.625%  5/22/29 EUR         3,235       4,033
  E.ON SE  0.350%  2/28/30 EUR         9,309      10,550
  E.ON SE  0.875%  8/20/31 EUR        11,350      13,355
  E.ON SE  0.625%  11/7/31 EUR        11,795      13,453
  E.ON SE  0.600%  10/1/32 EUR         2,287       2,603
  EnBW Energie Baden-Wuerttemberg AG  1.625%   8/5/79 EUR         2,000       2,325
  EnBW Energie Baden-Wuerttemberg AG  1.125%  11/5/79 EUR         2,000       2,328
  EnBW Energie Baden-Wuerttemberg AG  1.875%  6/29/80 EUR         7,700       9,131
  EnBW International Finance BV  0.625%  4/17/25 EUR        15,182      17,847
  EnBW International Finance BV  2.500%   6/4/26 EUR         1,363       1,741
  EnBW International Finance BV  0.250% 10/19/30 EUR         6,477       7,280
  EnBW International Finance BV  6.125%   7/7/39 EUR         2,922       6,202
  Eurogrid GmbH  1.625%  11/3/23 EUR         5,100       6,078
  Eurogrid GmbH  1.875%  6/10/25 EUR        13,500      16,510
  Eurogrid GmbH  1.500%  4/18/28 EUR         4,100       5,040
  Evonik Industries AG  0.625%  9/18/25 EUR         4,900       5,747
  EWE AG  0.375% 10/22/32 EUR        36,049      39,682
  Fresenius Finance Ireland plc  1.500%  1/30/24 EUR         7,117       8,476
  Fresenius Finance Ireland plc  0.500%  10/1/28 EUR         8,470       9,643
  Fresenius Finance Ireland plc  3.000%  1/30/32 EUR         1,072       1,466
  Fresenius Medical Care AG & Co. KGaA  0.250% 11/29/23 EUR         4,909       5,706
  Fresenius Medical Care AG & Co. KGaA  1.500%  7/11/25 EUR           400         483
  Fresenius Medical Care AG & Co. KGaA  1.500%  5/29/30 EUR         6,818       8,226
  Fresenius SE & Co. KGaA  4.000%   2/1/24 EUR         6,137       7,718
  Fresenius SE & Co. KGaA  1.625%  10/8/27 EUR         6,818       8,356
  Fresenius SE & Co. KGaA  0.750%  1/15/28 EUR         7,841       9,119
  Fresenius SE & Co. KGaA  2.875%  2/15/29 EUR         8,181      10,836
  Grand City Properties SA  1.500%  4/17/25 EUR         3,400       4,094
  Grand City Properties SA  1.375%   8/3/26 EUR        12,300      14,719
  Grand City Properties SA  1.500%  2/22/27 EUR         1,400       1,681
  Grand City Properties SA  1.500% 12/31/99 EUR         2,000       2,243
  Grand City Properties SA  2.500% 12/31/99 EUR           800         943
  Hamburg Commercial Bank AG  0.375%  4/27/23 EUR         7,369       8,599
  Hamburg Commercial Bank AG  0.375%  7/12/23 EUR        10,900      12,728
  Hannover Finance Luxembourg SA  5.000%  6/30/43 EUR         4,100       5,115
  Hannover Rueck SE  3.375%  6/29/49 EUR           100         127
  HeidelbergCement AG  2.250%  3/30/23 EUR         5,455       6,481
  HeidelbergCement AG  2.250%   6/3/24 EUR         7,295       8,874
  HeidelbergCement AG  1.500%   2/7/25 EUR         9,545      11,475
  HeidelbergCement Finance Luxembourg SA  1.625%   4/7/26 EUR         5,250       6,386
  HeidelbergCement Finance Luxembourg SA  1.500%  6/14/27 EUR           400         487
  HeidelbergCement Finance Luxembourg SA  1.125%  12/1/27 EUR         8,818      10,523
  HeidelbergCement Finance Luxembourg SA  1.750%  4/24/28 EUR         9,636      11,886
  Hella GmbH & Co. KGaA  1.000%  5/17/24 EUR           644         752
  HOCHTIEF AG  0.625%  4/26/29 EUR         2,000       2,233
39


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Infineon Technologies AG  2.000%  6/24/32 EUR         3,000       3,781
  ING-DiBa AG  0.250%  10/9/23 EUR         3,400       3,969
  ING-DiBa AG  0.250% 11/16/26 EUR         3,400       3,976
  ING-DiBa AG  0.125%  5/23/27 EUR         3,400       3,942
  ING-DiBa AG  1.250%  10/9/33 EUR         7,000       8,941
  ING-DiBa AG  1.000%  5/23/39 EUR        13,000      16,425
  Landesbank Baden-Wuerttemberg  0.200% 12/13/21 EUR         4,700       5,440
  Landesbank Baden-Wuerttemberg  0.200%  1/10/24 EUR         1,363       1,590
  Landesbank Baden-Wuerttemberg  0.375%  5/24/24 EUR         1,300       1,518
  Landesbank Baden-Wuerttemberg  0.250%  1/10/25 EUR         6,800       7,943
  Landesbank Baden-Wuerttemberg  1.500%   2/3/25 GBP         6,400       8,761
  Landesbank Baden-Wuerttemberg  0.375%  2/27/25 EUR         6,818       7,996
  Landesbank Baden-Wuerttemberg  0.375%  2/18/27 EUR        23,800      27,552
  Landesbank Baden-Wuerttemberg  0.010%  9/18/28 EUR         5,598       6,412
  Landesbank Baden-Wuerttemberg  0.375%   5/7/29 EUR         2,100       2,378
  Landesbank Hessen-Thueringen Girozentrale  0.125% 11/21/22 EUR        15,300      17,789
  Landesbank Hessen-Thueringen Girozentrale  0.250%  3/20/23 EUR        10,200      11,890
  Landesbank Hessen-Thueringen Girozentrale  1.875%  6/26/23 EUR           700         839
  Landesbank Hessen-Thueringen Girozentrale  0.375%   2/8/24 EUR         6,800       7,965
  Landesbank Hessen-Thueringen Girozentrale  0.125% 11/19/24 EUR         1,400       1,631
  Landesbank Hessen-Thueringen Girozentrale  0.375%  5/12/25 EUR         6,100       7,136
  Landesbank Hessen-Thueringen Girozentrale  0.500%  9/25/25 EUR           500         590
  LANXESS AG  2.625% 11/21/22 EUR           300         357
  LANXESS AG  1.125%  5/16/25 EUR         6,477       7,742
  LEG Immobilien SE  1.250%  1/23/24 EUR           700         828
  LEG Immobilien SE  0.875% 11/28/27 EUR         3,300       3,878
  Merck Financial Services GmbH  0.005% 12/15/23 EUR        13,600      15,774
  Merck Financial Services GmbH  0.875%   7/5/31 EUR           600         714
  Merck KGaA  3.375% 12/12/74 EUR           300         377
  Merck KGaA  1.625%   9/9/80 EUR         7,500       8,864
  Muenchener Hypothekenbank eG  0.500%  4/22/26 EUR           500         591
  Muenchener Hypothekenbank eG  0.625% 10/23/26 EUR           818         974
  Muenchener Hypothekenbank eG  0.625%   5/7/27 EUR         8,863      10,567
  Muenchener Hypothekenbank eG  0.625% 11/10/27 EUR        10,227      12,206
  Muenchener Hypothekenbank eG  2.500%   7/4/28 EUR         8,693      11,643
  Muenchener Hypothekenbank eG  1.000%  4/18/39 EUR         6,341       7,977
  Muenchener Hypothekenbank eG  0.010%  11/2/40 EUR         8,470       8,978
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen  1.250%  5/26/41 EUR         6,300       7,228
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen  3.250%  5/26/49 EUR         2,900       3,811
  Norddeutsche Landesbank-Girozentrale  0.375%  10/9/24 EUR           750         879
  Norddeutsche Landesbank-Girozentrale  0.250% 10/28/26 EUR         6,818       7,945
  O2 Telefonica Deutschland Finanzierungs GmbH  1.750%   7/5/25 EUR         4,500       5,459
  Roadster Finance DAC  2.375%  12/8/32 EUR           400         487
  Robert Bosch GmbH  1.750%   7/8/24 EUR           200         243
  Robert Bosch Investment Nederland BV  2.625%  5/24/28 EUR           800       1,073
  Santander Consumer Bank AG  0.250% 10/15/24 EUR        10,400      12,060
  SAP SE  1.125%  2/20/23 EUR         1,807       2,121
  SAP SE  0.750% 12/10/24 EUR           900       1,065
  SAP SE  1.250%  3/10/28 EUR         3,900       4,783
  SAP SE  0.375%  5/18/29 EUR         6,500       7,538
  SAP SE  1.625%  3/10/31 EUR        11,700      14,845
  Siemens Financieringsmaatschappij NV  0.375%   9/6/23 EUR         7,000       8,186
  Siemens Financieringsmaatschappij NV  0.250%   6/5/24 EUR         6,200       7,234
40


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Siemens Financieringsmaatschappij NV  0.000%   9/5/24 EUR         9,511      11,009
  Siemens Financieringsmaatschappij NV  2.750%  9/10/25 GBP           800       1,157
  Siemens Financieringsmaatschappij NV  2.875%  3/10/28 EUR           500         675
  Siemens Financieringsmaatschappij NV  0.125%   9/5/29 EUR         6,818       7,778
  Siemens Financieringsmaatschappij NV  1.375%   9/6/30 EUR           300         375
  Siemens Financieringsmaatschappij NV  1.250%  2/28/31 EUR        10,806      13,399
  Siemens Financieringsmaatschappij NV  0.500%  2/20/32 EUR         3,400       3,912
  Siemens Financieringsmaatschappij NV  0.500%   9/5/34 EUR         4,773       5,457
  Siemens Financieringsmaatschappij NV  1.750%  2/28/39 EUR         6,271       8,397
  Siemens Financieringsmaatschappij NV  3.750%  9/10/42 GBP         2,000       3,742
  Talanx AG  2.500%  7/23/26 EUR         1,400       1,808
  Talanx AG  2.250%  12/5/47 EUR         6,900       8,484
  Traton Finance Luxembourg SA  0.125%  3/24/25 EUR         8,500       9,749
  Traton Finance Luxembourg SA  1.250%  3/24/33 EUR         5,900       6,750
  UniCredit Bank AG  0.125% 10/26/23 EUR         1,363       1,587
  UniCredit Bank AG  1.875%   4/9/24 EUR         3,478       4,222
  UniCredit Bank AG  0.625%  2/12/25 EUR           100         118
  UniCredit Bank AG  0.625% 11/20/25 EUR         4,568       5,416
  UniCredit Bank AG  0.500%   5/4/26 EUR           500         590
  UniCredit Bank AG  0.010%  9/15/28 EUR         7,772       8,906
  UniCredit Bank AG  0.875%  1/11/29 EUR         8,659      10,524
  UniCredit Bank AG  0.010%  6/24/30 EUR         5,000       5,674
  UniCredit Bank AG  0.250%  1/15/32 EUR        13,295      15,293
  UniCredit Bank AG  0.850%  5/22/34 EUR        10,296      12,581
  Vantage Towers AG  0.750%  3/31/30 EUR         1,600       1,823
  Vier Gas Transport GmbH  3.125%  7/10/23 EUR         5,522       6,737
  Vier Gas Transport GmbH  2.875%  6/12/25 EUR         7,841       9,991
  Vier Gas Transport GmbH  0.125%  9/10/29 EUR         4,000       4,468
  Volkswagen Bank GmbH  0.750%  6/15/23 EUR         7,772       9,096
  Volkswagen Bank GmbH  1.250%  6/10/24 EUR        27,900      33,157
  Volkswagen Bank GmbH  1.250% 12/15/25 EUR           886       1,057
  Volkswagen Bank GmbH  2.500%  7/31/26 EUR         3,600       4,548
  Volkswagen Financial Services AG  0.875%  4/12/23 EUR           750         878
  Volkswagen Financial Services AG  1.500%  10/1/24 EUR         4,091       4,906
  Volkswagen Financial Services AG  0.000%  2/12/25 EUR        11,000      12,596
  Volkswagen Financial Services AG  2.250% 10/16/26 EUR        16,363      20,523
  Volkswagen Financial Services AG  3.375%   4/6/28 EUR        13,637      18,328
  Volkswagen Financial Services NV  2.250%  4/12/25 GBP           483         673
  Volkswagen International Finance NV  3.375% 11/16/26 GBP         4,800       7,045
  Volkswagen International Finance NV  1.875%  3/30/27 EUR        12,400      15,398
  Volkswagen International Finance NV  3.250% 11/18/30 EUR         1,200       1,656
  Volkswagen International Finance NV  4.125% 11/17/31 GBP         5,000       7,986
  Volkswagen International Finance NV  1.250%  9/23/32 EUR         3,900       4,625
  Volkswagen International Finance NV  3.300%  3/22/33 EUR           700         994
  Volkswagen International Finance NV  4.125% 11/16/38 EUR        11,000      17,711
  Volkswagen International Finance NV  4.625%  3/29/49 EUR         1,694       2,191
  Volkswagen International Finance NV  5.125%  9/29/49 EUR         2,796       3,482
  Volkswagen International Finance NV  2.700% 12/31/99 EUR         7,800       9,219
  Volkswagen International Finance NV  3.375% 12/31/99 EUR        11,200      13,698
  Volkswagen International Finance NV  3.500% 12/31/99 EUR        12,900      15,924
  Volkswagen International Finance NV  3.875% 12/31/99 EUR         7,000       8,817
  Volkswagen International Finance NV  3.875% 12/31/99 EUR        10,400      13,112
  Volkswagen International Finance NV  4.625% 12/31/99 EUR         6,400       8,430
  Volkswagen Leasing GmbH  2.375%   9/6/22 EUR         6,800       8,035
  Volkswagen Leasing GmbH  1.000%  2/16/23 EUR         7,807       9,148
41


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Volkswagen Leasing GmbH  2.625%  1/15/24 EUR         1,568       1,915
  Volkswagen Leasing GmbH  1.125%   4/4/24 EUR         7,159       8,473
  Volkswagen Leasing GmbH  1.375%  1/20/25 EUR         7,909       9,454
  Volkswagen Leasing GmbH  1.625%  8/15/25 EUR         1,486       1,796
  Volkswagen Leasing GmbH  0.375%  7/20/26 EUR        10,000      11,483
  Volkswagen Leasing GmbH  0.500%  1/12/29 EUR        12,776      14,391
  Vonovia Finance BV  0.750%  1/25/22 EUR           100         116
  Vonovia Finance BV  0.875%   7/3/23 EUR           600         704
  Vonovia Finance BV  2.250% 12/15/23 EUR         8,600      10,432
  Vonovia Finance BV  1.500%  3/31/25 EUR         3,478       4,191
  Vonovia Finance BV  1.800%  6/29/25 EUR        16,900      20,552
  Vonovia Finance BV  1.125%   9/8/25 EUR         1,700       2,027
  Vonovia Finance BV  1.500%  3/22/26 EUR        12,600      15,295
  Vonovia Finance BV  1.500%  6/10/26 EUR         3,400       4,132
  Vonovia Finance BV  1.750%  1/25/27 EUR           200         246
  Vonovia Finance BV  0.625%  10/7/27 EUR         4,100       4,738
  Vonovia Finance BV  1.500%  1/14/28 EUR           900       1,093
  Vonovia Finance BV  2.250%   4/7/30 EUR         6,800       8,686
  Vonovia Finance BV  1.125%  9/14/34 EUR         6,800       7,672
  Vonovia Finance BV  2.750%  3/22/38 EUR        10,200      13,800
  Vonovia Finance BV  4.000% 12/29/49 EUR         1,500       1,741
  Vonovia SE  0.625% 12/14/29 EUR         9,200      10,429
  Vonovia SE  1.000%  6/16/33 EUR         5,000       5,635
  Vonovia SE  1.500%  6/14/41 EUR         8,000       9,094
  VW Credit Canada Inc.  3.250%  3/29/23 CAD         5,795       4,801
  VW Credit Canada Inc.  2.850%  9/26/24 CAD         1,156         960
  VW Credit Canada Inc.  1.500%  9/23/25 CAD         4,225       3,340
  Wintershall Dea Finance BV  0.840%  9/25/25 EUR         6,800       7,977
  Wintershall Dea Finance BV  1.823%  9/25/31 EUR         6,800       8,234
                   2,787,368
Hong Kong (0.0%)                              
  Cheung Kong Infrastructure Finance BVI Ltd.  1.000% 12/12/24 EUR           483         566
  Hong Kong & Shanghai Banking Corp. Ltd.  0.204%  6/25/24 JPY       400,000       3,497
                   4,063
Ireland (0.1%)                              
  Bank of Ireland Group plc  1.375%  8/29/23 EUR        10,363      12,276
  Bank of Ireland Group plc  1.000% 11/25/25 EUR        14,999      17,687
  CRH Finance DAC  3.125%   4/3/23 EUR         7,398       8,941
  CRH Finance DAC  1.375% 10/18/28 EUR           954       1,166
  CRH Finland Services OYJ  0.875%  11/5/23 EUR         2,700       3,178
  CRH Funding BV  1.625%   5/5/30 EUR         8,818      10,999
  CRH SMW Finance DAC  1.250%  11/5/26 EUR         5,000       6,038
  ESB Finance DAC  3.494%  1/12/24 EUR           681         847
  ESB Finance DAC  2.125%   6/8/27 EUR         4,312       5,463
  ESB Finance DAC  1.875%  6/14/31 EUR         7,409       9,460
  ESB Finance DAC  2.125%  11/5/33 EUR         3,568       4,690
  Freshwater Finance plc  5.182%  4/20/35 GBP         1,363       2,490
  Freshwater Finance plc  4.607% 10/17/36 GBP           767       1,327
  GAS Networks Ireland  1.375%  12/5/26 EUR         1,705       2,079
  Kerry Group Financial Services Unltd Co.  2.375%  9/10/25 EUR         7,159       8,943
  Ryanair DAC  1.125%  3/10/23 EUR           200         235
  Ryanair DAC  1.125%  8/15/23 EUR         2,045       2,406
  Ryanair DAC  2.875%  9/15/25 EUR        13,082      16,355
42


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Smurfit Kappa Acquisitions ULC  2.875%  1/15/26 EUR         3,000       3,802
                   118,382
Italy (0.8%)                              
  2i Rete Gas SpA  3.000%  7/16/24 EUR         4,091       5,094
  2i Rete Gas SpA  1.608% 10/31/27 EUR         4,431       5,407
  A2A SpA  1.250%  3/16/24 EUR         2,727       3,246
  A2A SpA  0.625% 10/28/32 EUR        12,796      14,120
  ACEA SpA  1.000% 10/24/26 EUR         4,173       4,962
  ACEA SpA  1.500%   6/8/27 EUR        17,123      20,863
  ACEA SpA  0.500%   4/6/29 EUR         9,190      10,455
  ACEA SpA  0.250%  7/28/30 EUR         8,000       8,864
  Aeroporti di Roma SpA  1.625%   6/8/27 EUR         2,659       3,166
  Aeroporti di Roma SPA  5.441%  2/20/23 GBP           250         359
  Assicurazioni Generali SpA  5.125%  9/16/24 EUR         4,963       6,627
  Assicurazioni Generali SpA  7.750% 12/12/42 EUR         5,400       6,756
  Assicurazioni Generali SpA  5.500% 10/27/47 EUR        10,729      14,999
  Assicurazioni Generali SpA  5.000%   6/8/48 EUR         2,045       2,819
  ASTM SpA  1.625%   2/8/28 EUR         2,522       2,988
  Banca Monte dei Paschi di Siena SpA  2.875%  7/16/24 EUR         3,845       4,778
  Banca Monte dei Paschi di Siena SpA  2.125% 11/26/25 EUR         6,137       7,630
  Banco BPM SpA  0.625%   6/8/23 EUR         6,818       7,977
  Banco BPM SpA  1.000%  1/23/25 EUR        10,227      12,175
  Banco di Desio e della Brianza SpA  0.875%  9/12/24 EUR        10,909      12,902
  Buzzi Unicem SpA  2.125%  4/28/23 EUR           886       1,050
  Credit Agricole Italia SpA  0.875%  6/16/23 EUR         6,800       8,002
  Credit Agricole Italia SpA  0.250%  9/30/24 EUR         7,300       8,509
  Credit Agricole Italia SpA  0.625%  1/13/26 EUR         3,800       4,497
  Credit Agricole Italia SpA  1.000%  3/25/27 EUR        10,200      12,338
  Credit Agricole Italia SpA  0.250%  1/17/28 EUR         3,400       3,952
  Credit Agricole Italia SpA  1.625%  3/21/29 EUR         1,400       1,786
  Credit Agricole Italia SpA  1.750%  1/15/38 EUR         3,400       4,684
  Credit Agricole Italia SpA  1.000%  1/17/45 EUR           600         759
  Credito Emiliano SpA  1.125%  1/17/24 EUR         6,818       8,083
  Enel Finance International NV  4.875%  4/17/23 EUR         1,636       2,034
  Enel Finance International NV  5.250%  9/29/23 EUR         1,193       1,522
  Enel Finance International NV  0.000%  6/17/24 EUR         5,754       6,658
  Enel Finance International NV  5.625%  8/14/24 GBP         7,728      11,837
  Enel Finance International NV  1.000%  9/16/24 EUR         2,591       3,076
  Enel Finance International NV  1.966%  1/27/25 EUR        18,034      22,093
  Enel Finance International NV  1.375%   6/1/26 EUR        25,489      30,887
  Enel Finance International NV  1.125%  9/16/26 EUR         1,841       2,208
  Enel Finance International NV  0.375%  6/17/27 EUR        15,045      17,344
  Enel Finance International NV  1.000% 10/20/27 GBP         2,114       2,790
  Enel Finance International NV  1.125% 10/17/34 EUR         3,545       4,180
  Enel Finance International NV  0.875%  6/17/36 EUR         3,000       3,361
  Enel Finance International NV  5.750%  9/14/40 GBP         7,219      14,860
  Enel SpA  5.625%  6/21/27 EUR         2,096       3,117
  Enel SpA  5.750%  6/22/37 GBP         2,045       4,059
  Enel SpA  3.500%  5/24/80 EUR        10,455      13,034
  Enel SpA  3.375% 11/24/81 EUR         8,300      10,503
  Enel SpA  1.375% 12/31/99 EUR        10,000      11,346
  Enel SpA  2.250% 12/31/99 EUR        11,900      14,256
  Enel SpA  2.500% 12/31/99 EUR         7,568       9,071
  Eni SpA  2.625% 11/22/21 EUR         2,045       2,368
  Eni SpA  1.750%  1/18/24 EUR         7,472       8,986
43


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Eni SpA  0.625%  9/19/24 EUR         6,818       8,007
  Eni SpA  3.750%  9/12/25 EUR         4,500       5,939
  Eni SpA  1.500%   2/2/26 EUR         2,944       3,588
  Eni SpA  1.500%  1/17/27 EUR         3,409       4,166
  Eni SpA  1.625%  5/17/28 EUR         7,045       8,738
  Eni SpA  1.125%  9/19/28 EUR         3,749       4,493
  Eni SpA  0.625%  1/23/30 EUR        11,818      13,529
  Eni SpA  1.000% 10/11/34 EUR         4,091       4,851
  Eni SpA  2.625% 12/31/99 EUR         5,455       6,557
  Eni SpA  2.750% 12/31/99 EUR         5,000       5,790
  Eni SpA  3.375% 12/31/99 EUR         7,409       9,037
  FCA Bank SpA  0.250%  2/28/23 EUR        10,227      11,873
  Hera SpA  0.875% 10/14/26 EUR         3,409       4,036
  Hera SpA  0.875%   7/5/27 EUR         6,818       8,093
  Hera SpA  5.200%  1/29/28 EUR         4,091       6,135
  Intesa Sanpaolo SpA  3.625%  12/5/22 EUR         2,800       3,379
  Intesa Sanpaolo SpA  1.000%  1/27/23 EUR        12,613      14,821
  Intesa Sanpaolo SpA  2.125%  8/30/23 EUR         5,455       6,566
  Intesa Sanpaolo SpA  4.000% 10/30/23 EUR         4,159       5,203
  Intesa Sanpaolo SpA  1.375%  1/18/24 EUR        10,227      12,181
  Intesa Sanpaolo SpA  3.125%   2/5/24 EUR         2,727       3,387
  Intesa Sanpaolo SpA  0.500%   3/5/24 EUR         3,400       3,993
  Intesa Sanpaolo SpA  1.500%  4/10/24 EUR         3,409       4,073
  Intesa Sanpaolo SpA  1.000%   7/4/24 EUR         3,954       4,673
  Intesa Sanpaolo SpA  0.500%  7/15/24 EUR         3,749       4,403
  Intesa Sanpaolo SpA  3.375%  1/24/25 EUR         7,100       9,127
  Intesa Sanpaolo SpA  1.250%   2/7/25 EUR         1,705       2,056
  Intesa Sanpaolo SpA  1.125%  7/14/25 EUR         3,400       4,095
  Intesa Sanpaolo SpA  1.000%  9/25/25 EUR         6,818       8,190
  Intesa Sanpaolo SpA  3.250%  2/10/26 EUR         2,700       3,554
  Intesa Sanpaolo SpA  0.375%  9/14/26 EUR         6,818       7,986
  Intesa Sanpaolo SpA  1.000% 11/19/26 EUR         8,863      10,423
  Intesa Sanpaolo SpA  1.125%  10/4/27 EUR         9,341      11,409
  Intesa Sanpaolo SpA  1.750%  3/20/28 EUR        17,780      21,677
  Intesa Sanpaolo SpA  1.750%   7/4/29 EUR         6,137       7,501
  Intesa Sanpaolo SpA  2.500%  1/15/30 GBP         2,045       2,824
  Intesa Sanpaolo SpA  2.625%  3/11/36 GBP         5,000       6,780
  Intesa Sanpaolo SPA  1.250%  1/15/30 EUR           500         622
  Iren SpA  0.875%  11/4/24 EUR         3,136       3,703
  Iren SpA  1.950%  9/19/25 EUR         4,091       5,006
  Italgas SpA  0.875%  4/24/30 EUR         4,091       4,764
  Mediobanca Banca di Credito Finanziario SpA  1.125%  7/15/25 EUR         4,773       5,653
  Mediobanca Banca di Credito Finanziario SpA  1.375% 11/10/25 EUR         7,363       8,978
  Mediobanca Banca di Credito Finanziario SpA  0.875%  1/15/26 EUR        10,909      12,757
  Mediobanca Banca di Credito Finanziario SPA  1.250% 11/24/29 EUR         1,772       2,213
  Snam SpA  0.000%  5/12/24 EUR         2,045       2,366
  Snam SpA  0.875% 10/25/26 EUR        13,401      15,877
  Snam SpA  1.000%  9/12/34 EUR         5,455       6,337
  Snam SPA  1.000%  9/18/23 EUR           100         118
  Terna - Rete Elettrica Nazionale  1.375%  7/26/27 EUR         6,641       8,076
  Terna - Rete Elettrica Nazionale  1.000% 10/11/28 EUR         9,068      10,822
  UniCredit SpA  2.000%   3/4/23 EUR         6,818       8,100
  UniCredit SpA  5.250%  4/30/23 EUR         6,137       7,682
  UniCredit SpA  1.250%  6/25/25 EUR        21,607      25,596
  UniCredit SpA  1.250%  6/16/26 EUR        11,859      14,048
44


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  UniCredit SpA  0.375% 10/31/26 EUR        12,989      15,118
  UniCredit SpA  2.200%  7/22/27 EUR        16,818      20,446
  UniCredit SpA  1.800%  1/20/30 EUR         6,776       7,994
  UniCredit SpA  0.850%  1/19/31 EUR        16,011      17,864
                   876,710
Japan (0.3%)                              
  Asahi Group Holdings Ltd.  0.155% 10/23/24 EUR         4,773       5,524
  Central Nippon Expressway Co. Ltd.  0.040%  8/19/24 JPY        50,000         438
  Daiichi Sankyo Co. Ltd.  0.810%  7/25/36 JPY       200,000       1,804
  Denso Corp.  0.315%  3/17/28 JPY       500,000       4,413
  East Japan Railway Co.  1.162%  9/15/28 GBP         2,012       2,687
  East Japan Railway Co.  4.875%  6/14/34 GBP         3,750       6,882
  East Nippon Expressway Co. Ltd.  0.090% 12/20/22 JPY       340,000       2,984
  East Nippon Expressway Co. Ltd.  0.070%  6/20/25 JPY       900,000       7,899
  East Nippon Expressway Co. Ltd.  0.140%  7/31/29 JPY       890,000       7,796
  Fast Retailing Co. Ltd.  0.749% 12/18/25 JPY       100,000         900
  Fast Retailing Co. Ltd.  0.405%   6/6/28 JPY       900,000       7,983
  JT International Financial Services BV  1.000% 11/26/29 EUR         7,636       8,958
  JT International Financial Services BV  2.750%  9/28/33 GBP         3,478       5,062
  JT International Financial Services BV  2.375%   4/7/81 EUR         6,818       8,232
  Kansai Electric Power Co. Inc.  0.280%  4/25/24 JPY        63,000         555
  Kansai Electric Power Co. Inc.  0.470%  5/25/27 JPY       119,000       1,060
  Kansai Electric Power Co. Inc.  0.490%  7/23/27 JPY       166,000       1,480
  Kansai Electric Power Co. Inc.  0.460% 12/20/27 JPY       477,000       4,244
  Kyushu Electric Power Co. Inc.  1.064%  2/23/24 JPY       136,000       1,219
  Kyushu Electric Power Co. Inc.  0.170%  8/23/24 JPY        47,000         413
  Kyushu Electric Power Co. Inc.  0.430%  5/25/29 JPY       122,000       1,082
  Mitsubishi UFJ Financial Group Inc.  0.680%  1/26/23 EUR         6,818       7,967
  Mitsubishi UFJ Financial Group Inc.  0.940%  6/26/24 JPY       200,000       1,782
  Mitsubishi UFJ Financial Group Inc.  0.872%   9/7/24 EUR        12,955      15,304
  Mitsubishi UFJ Financial Group Inc.  0.535%  4/28/26 JPY       200,000       1,762
  Mitsubishi UFJ Financial Group Inc.  0.366%  7/29/26 JPY       164,000       1,433
  Mitsubishi UFJ Financial Group Inc.  0.652%  7/26/27 JPY       136,000       1,205
  Mitsubishi UFJ Financial Group Inc.  0.535%  5/31/28 JPY       200,000       1,760
  Mitsubishi UFJ Financial Group Inc.  0.360% 10/31/28 JPY       300,000       2,630
  Mitsubishi UFJ Financial Group Inc.  0.848%  7/19/29 EUR        10,909      12,774
  Mizuho Financial Group Inc.  0.523%  6/10/24 EUR         1,568       1,835
  Mizuho Financial Group Inc.  0.956% 10/16/24 EUR         3,375       3,997
  Mizuho Financial Group Inc.  0.650%  1/26/27 JPY       178,000       1,571
  Mizuho Financial Group Inc.  0.402%   9/6/29 EUR         3,409       3,823
  Mizuho Financial Group Inc.  0.797%  4/15/30 EUR         6,818       7,862
  MUFG Bank Ltd.  1.390%  5/31/22 JPY       100,000         884
  MUFG Bank Ltd.  1.950% 11/12/25 JPY       300,000       2,790
6 New Kansai International Airport Co. Ltd.  0.882%  6/27/23 JPY        34,100         304
3 Nissan Motor Co. Ltd.  1.940%  9/15/23 EUR         1,528       1,827
  Nissan Motor Co. Ltd.  2.652%  3/17/26 EUR         6,818       8,455
3 Nissan Motor Co. Ltd.  2.652%  3/17/26 EUR         4,500       5,581
  Nissan Motor Co. Ltd.  3.201%  9/17/28 EUR         5,000       6,412
3 Nissan Motor Co. Ltd.  3.201%  9/17/28 EUR         4,159       5,333
  NTT Finance Corp.  0.010%   3/3/25 EUR        10,164      11,722
  NTT Finance Corp.  0.342%   3/3/30 EUR         5,082       5,780
  NTT Finance Corp.  0.380%  9/20/30 JPY     3,300,000      29,368
  Panasonic Corp.  0.300%  9/20/23 JPY       300,000       2,656
  Panasonic Corp.  0.934%  3/19/25 JPY       800,000       7,206
  Panasonic Corp.  0.470%  9/18/26 JPY     1,200,000      10,616
45


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Shinkin Central Bank  0.110%  6/27/23 JPY       200,000       1,757
  Shinkin Central Bank  0.110% 10/27/23 JPY       140,000       1,230
  Sumitomo Mitsui Banking Corp.  2.750%  7/24/23 EUR           500         608
  Sumitomo Mitsui Banking Corp.  0.010%  9/10/25 EUR        14,124      16,232
  Sumitomo Mitsui Banking Corp.  0.267%  6/18/26 EUR         6,818       7,897
  Sumitomo Mitsui Banking Corp.  0.409%  11/7/29 EUR         4,773       5,523
  Sumitomo Mitsui Financial Group Inc.  0.819%  7/23/23 EUR         1,091       1,282
  Sumitomo Mitsui Financial Group Inc.  0.849%  9/12/24 JPY     1,000,000       8,841
  Sumitomo Mitsui Financial Group Inc.  0.934% 10/11/24 EUR           200         237
  Sumitomo Mitsui Financial Group Inc.  1.546%  6/15/26 EUR         7,636       9,294
  Sumitomo Mitsui Financial Group Inc.  0.585%  3/16/28 JPY       194,000       1,693
  Sumitomo Mitsui Financial Group Inc.  0.632% 10/23/29 EUR         7,499       8,563
  Sumitomo Mitsui Trust Bank Ltd.  0.010% 10/15/27 EUR        12,341      13,976
  Takeda Pharmaceutical Co. Ltd.  2.250% 11/21/26 EUR         5,864       7,385
  Takeda Pharmaceutical Co. Ltd.  1.000%   7/9/29 EUR         9,477      11,178
  Takeda Pharmaceutical Co. Ltd.  3.000% 11/21/30 EUR        14,182      19,318
  Takeda Pharmaceutical Co. Ltd.  2.000%   7/9/40 EUR         5,795       7,361
  Toyota Motor Finance Netherlands BV  0.625%  9/26/23 EUR        15,477      18,158
  West Nippon Expressway Co. Ltd.  0.070%  9/20/23 JPY       690,000       6,070
  West Nippon Expressway Co. Ltd.  0.170%  5/22/26 JPY       740,000       6,536
                   399,393
Luxembourg (0.1%)                              
  Acef Holding SCA  0.750%  6/14/28 EUR         1,500       1,704
  ArcelorMittal SA  1.750% 11/19/25 EUR         5,692       6,874
  Blackstone Property Partners Europe Holdings Sarl  2.000%  2/15/24 EUR         9,750      11,665
  Blackstone Property Partners Europe Holdings Sarl  1.250%  4/26/27 EUR         6,511       7,567
  Blackstone Property Partners Europe Holdings Sarl  1.750%  3/12/29 EUR        11,591      13,608
  Logicor Financing Sarl  1.500% 11/14/22 EUR         4,773       5,589
  Logicor Financing Sarl  2.250%  5/13/25 EUR         2,114       2,589
  Logicor Financing Sarl  1.625%  7/15/27 EUR         6,818       8,186
  Logicor Financing Sarl  3.250% 11/13/28 EUR         5,318       6,996
  Logicor Financing Sarl  0.875%  1/14/31 EUR         3,000       3,295
  NORD/LB Luxembourg SA Covered Bond Bank  0.375%  6/15/23 EUR         6,800       7,925
  NORD/LB Luxembourg SA Covered Bond Bank  0.375%   3/7/24 EUR         3,400       3,964
  Prologis International Funding II SA  1.750%  3/15/28 EUR           500         621
  Prologis International Funding II SA  0.875%   7/9/29 EUR         4,091       4,790
  Prologis International Funding II SA  1.625%  6/17/32 EUR         2,727       3,307
  SELP Finance Sarl  1.250% 10/25/23 EUR         2,796       3,301
  SELP Finance Sarl  1.500% 12/20/26 EUR        10,000      12,025
                   104,006
Mexico (0.0%)                              
  America Movil SAB de CV  1.500%  3/10/24 EUR           483         577
  America Movil SAB de CV  5.000% 10/27/26 GBP         1,568       2,480
  America Movil SAB de CV  0.750%  6/26/27 EUR         2,932       3,431
  America Movil SAB de CV  2.125%  3/10/28 EUR         3,478       4,394
  America Movil SAB de CV  5.750%  6/28/30 GBP         2,659       4,693
  America Movil SAB de CV  4.375%   8/7/41 GBP         6,332      11,225
  America Movil SAB de CV  6.375%   9/6/73 EUR         5,727       7,328
                   34,128
46


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
Netherlands (0.9%)                              
  ABN AMRO Bank NV  0.500%  7/17/23 EUR         2,045       2,394
  ABN AMRO Bank NV  2.500%   9/5/23 EUR         4,773       5,800
  ABN AMRO Bank NV  2.500% 11/29/23 EUR         2,796       3,413
  ABN AMRO Bank NV  0.875%  1/15/24 EUR         4,091       4,840
  ABN AMRO Bank NV  2.375%  1/23/24 EUR        11,182      13,667
  ABN AMRO Bank NV  1.375%  1/16/25 GBP           500         685
  ABN AMRO Bank NV  1.250%  5/28/25 EUR        16,100      19,278
  ABN AMRO Bank NV  0.875%  1/14/26 EUR           800         959
  ABN AMRO Bank NV  0.600%  1/15/27 EUR        10,200      11,854
  ABN AMRO Bank NV  1.500%  9/30/30 EUR        14,795      18,985
  ABN AMRO Bank NV  1.000%  4/13/31 EUR         5,400       6,672
  ABN AMRO Bank NV  1.000%   6/2/33 EUR        17,000      19,496
  ABN AMRO Bank NV  1.375%  1/10/34 EUR         9,700      12,532
  ABN AMRO Bank NV  0.375%  1/14/35 EUR        27,200      31,265
  ABN AMRO Bank NV  1.375%  1/12/37 EUR        14,900      19,501
  ABN AMRO Bank NV  1.450%  4/12/38 EUR         2,400       3,202
  ABN AMRO Bank NV  1.125%  4/23/39 EUR         3,400       4,361
  ABN AMRO Bank NV  0.400%  9/17/41 EUR        13,400      15,246
  Aegon Bank NV  0.250%  5/25/55 EUR        12,500      14,565
  Aegon Bank NV  0.375% 11/21/56 EUR         6,800       7,954
  Aegon Bank NV  0.750%  6/27/59 EUR         1,700       2,027
  Aegon NV  1.000%  12/8/23 EUR           750         888
  Aegon NV  6.625% 12/16/39 GBP           614       1,431
  Aegon NV  4.000%  4/25/44 EUR         1,363       1,707
  Akzo Nobel NV  1.750%  11/7/24 EUR         2,454       2,994
  Akzo Nobel NV  1.125%   4/8/26 EUR         2,796       3,382
  Alliander NV  2.875%  6/14/24 EUR           500         625
  Alliander NV  0.375%  6/10/30 EUR         8,470       9,763
  ASML Holding NV  3.375%  9/19/23 EUR           681         841
  ASML Holding NV  1.375%   7/7/26 EUR         7,363       8,983
  ASML Holding NV  1.625%  5/28/27 EUR           954       1,186
  ASR Nederland NV  5.125%  9/29/45 EUR         2,045       2,752
  ASR Nederland NV  3.375%   5/2/49 EUR         4,193       5,373
  Cooperatieve Rabobank UA  4.125%  9/14/22 EUR         5,455       6,535
  Cooperatieve Rabobank UA  0.500%  12/6/22 EUR         8,328       9,725
  Cooperatieve Rabobank UA  2.375%  5/22/23 EUR         3,921       4,722
  Cooperatieve Rabobank UA  3.875%  7/25/23 EUR         2,284       2,817
  Cooperatieve Rabobank UA  0.750%  8/29/23 EUR        11,800      13,869
  Cooperatieve Rabobank UA  1.250%  1/14/25 GBP         2,700       3,671
  Cooperatieve Rabobank UA  4.125%  7/14/25 EUR        13,637      18,172
  Cooperatieve Rabobank UA  1.250%  3/23/26 EUR         3,954       4,804
  Cooperatieve Rabobank UA  4.250%  5/12/26 AUD           550         449
  Cooperatieve Rabobank UA  3.125%  9/15/26 CHF         4,725       5,913
  Cooperatieve Rabobank UA  1.375%   2/3/27 EUR         3,000       3,686
  Cooperatieve Rabobank UA  5.250%  9/14/27 GBP        10,645      17,008
  Cooperatieve Rabobank UA  0.875%   2/8/28 EUR         7,500       9,071
  Cooperatieve Rabobank UA  0.875%   5/5/28 EUR        12,300      14,531
  Cooperatieve Rabobank UA  0.875%   2/1/29 EUR         6,800       8,254
  Cooperatieve Rabobank UA  4.625%  5/23/29 GBP         6,477      10,277
  Cooperatieve Rabobank UA  4.550%  8/30/29 GBP         4,846       8,150
  Cooperatieve Rabobank UA  1.250%  5/31/32 EUR         5,100       6,445
  Cooperatieve Rabobank UA  0.625%  2/25/33 EUR        10,200      11,540
  Cooperatieve Rabobank UA  1.500%  4/26/38 EUR         4,700       6,313
  Cooperatieve Rabobank UA  0.750%  6/21/39 EUR         8,100       9,785
47


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Cooperatieve Rabobank UA  5.250%  5/23/41 GBP           644       1,374
  CTP NV  0.750%  2/18/27 EUR         3,000       3,434
  CTP NV  1.250%  6/21/29 EUR         5,000       5,714
  de Volksbank NV  0.500%  1/30/26 EUR         5,000       5,891
  de Volksbank NV  0.250%  6/22/26 EUR         4,000       4,572
  de Volksbank NV  0.750%  5/18/27 EUR         3,400       4,074
  de Volksbank NV  0.750% 10/24/31 EUR         3,409       4,109
  Enexis Holding NV  0.875%  4/28/26 EUR         8,100       9,678
  EXOR NV  1.750%  1/18/28 EUR         3,614       4,431
  EXOR NV  2.250%  4/29/30 EUR         6,776       8,554
  Heineken NV  1.500%  12/7/24 EUR         3,478       4,189
  Heineken NV  1.625%  3/30/25 EUR         5,455       6,627
  Heineken NV  2.875%   8/4/25 EUR         4,022       5,156
  Heineken NV  1.375%  1/29/27 EUR         6,886       8,402
  Heineken NV  1.500%  10/3/29 EUR           500         619
  Heineken NV  2.250%  3/30/30 EUR        10,227      13,417
  Heineken NV  1.750%   5/7/40 EUR         5,929       7,302
  ING Bank NV  1.875%  5/22/23 EUR        11,864      14,183
  ING Bank NV  0.875%  4/11/28 EUR        10,600      12,846
  ING Groep NV  1.000%  9/20/23 EUR         4,100       4,841
  ING Groep NV  1.125%  2/14/25 EUR         9,700      11,550
  ING Groep NV  2.125%  1/10/26 EUR        10,200      12,696
  ING Groep NV  3.000%  2/18/26 GBP         4,700       6,793
  ING Groep NV  2.500%  2/15/29 EUR         6,800       8,235
  ING Groep NV  0.250%  2/18/29 EUR         9,100      10,198
  ING Groep NV  1.625%  9/26/29 EUR        18,100      21,529
  ING Groep NV  0.250%   2/1/30 EUR         3,400       3,773
  Koninklijke Ahold Delhaize NV  1.125%  3/19/26 EUR           100         120
  Koninklijke DSM NV  2.375%   4/3/24 EUR         1,159       1,415
  Koninklijke DSM NV  1.000%   4/9/25 EUR         2,182       2,605
  Koninklijke DSM NV  0.750%  9/28/26 EUR           100         119
  Koninklijke KPN NV  0.625%   4/9/25 EUR         6,800       7,992
  Koninklijke KPN NV  5.000% 11/18/26 GBP         2,495       3,865
  Koninklijke KPN NV  5.750%  9/17/29 GBP         3,692       6,137
  Koninklijke Philips NV  0.500%  5/22/26 EUR           100         117
  Koninklijke Philips NV  1.375%   5/2/28 EUR         5,250       6,437
  Koninklijke Philips NV  2.000%  3/30/30 EUR         6,818       8,790
  LeasePlan Corp. NV  3.500%   4/9/25 EUR         5,000       6,409
  Nationale-Nederlanden Bank NV  0.375%  2/26/25 EUR         9,000      10,499
  Nationale-Nederlanden Bank NV  0.625%  9/11/55 EUR         5,200       6,145
  Nationale-Nederlanden Bank NV  0.250%  2/27/56 EUR         7,500       8,743
  Nationale-Nederlanden Bank NV  0.500% 10/10/56 EUR           700         822
  Nederlandse Gasunie NV  2.625%  7/13/22 EUR         1,023       1,207
  Nederlandse Gasunie NV  1.000%  5/11/26 EUR         8,578      10,284
  Nederlandse Gasunie NV  0.375%  10/3/31 EUR         2,045       2,319
  NIBC Bank NV  1.125%  4/19/23 EUR        16,568      19,496
  NIBC Bank NV  3.125% 11/15/23 GBP         8,100      11,443
  NIBC Bank NV  0.875%   7/8/25 EUR        15,700      18,519
  NIBC Bank NV  0.250%   9/9/26 EUR        12,000      13,653
  NIBC Bank NV  0.500%  3/19/27 EUR        10,400      12,240
  NIBC Bank NV  1.000%  9/11/28 EUR         3,400       4,134
  NIBC Bank NV  0.010% 10/15/29 EUR         6,800       7,677
  NIBC Bank NV  0.625%   6/1/58 EUR         7,900       9,349
  NN Group NV  0.875%  1/13/23 EUR           500         584
  NN Group NV  1.625%   6/1/27 EUR           330         408
48


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  NN Group NV  4.625%  1/13/48 EUR         5,727       7,781
  NN Group NV  4.375%  6/29/49 EUR           681         857
  PostNL NV  1.000% 11/21/24 EUR         1,296       1,534
  PostNL NV  0.625%  9/23/26 EUR         3,409       3,994
  Royal Schiphol Group NV  0.000%  4/22/25 EUR         1,270       1,461
  Royal Schiphol Group NV  2.000%   4/6/29 EUR        24,545      31,315
  Shell International Finance BV  1.125%   4/7/24 EUR         7,159       8,523
  Shell International Finance BV  0.375%  2/15/25 EUR        16,094      18,801
  Shell International Finance BV  1.625%  1/20/27 EUR        16,657      20,642
  Shell International Finance BV  0.125%  11/8/27 EUR         3,409       3,892
  Shell International Finance BV  1.250%  5/12/28 EUR           483         588
  Shell International Finance BV  0.750%  8/15/28 EUR         6,818       8,016
  Shell International Finance BV  1.000% 12/10/30 GBP         2,273       2,899
  Shell International Finance BV  1.875%   4/7/32 EUR         6,818       8,670
  Shell International Finance BV  0.875%  11/8/39 EUR         6,750       7,298
  Shell International Finance BV  1.750%  9/10/52 GBP         3,409       4,092
  Stedin Holding NV  0.875% 10/24/25 EUR        19,909      23,662
  Stedin Holding NV  1.375%  9/19/28 EUR         3,409       4,191
  Stedin Holding NV  0.500% 11/14/29 EUR         3,409       3,941
  TenneT Holding BV  0.750%  6/26/25 EUR         6,818       8,071
  TenneT Holding BV  1.000%  6/13/26 EUR           200         240
  TenneT Holding BV  1.375%   6/5/28 EUR        19,179      23,579
  TenneT Holding BV  1.375%  6/26/29 EUR         7,175       8,831
  TenneT Holding BV  1.250% 10/24/33 EUR         1,091       1,329
  TenneT Holding BV  1.875%  6/13/36 EUR         1,694       2,212
  TenneT Holding BV  1.500%   6/3/39 EUR        15,243      19,141
  TenneT Holding BV  0.500% 11/30/40 EUR         8,181       8,624
  Vesteda Finance BV  1.500%  5/24/27 EUR         2,727       3,322
  Wolters Kluwer NV  2.875%  3/21/23 EUR         3,409       4,109
                   1,061,688
New Zealand (0.1%)                              
  ASB Finance Ltd.  0.125% 10/18/23 EUR         3,341       3,884
  ASB Finance Ltd.  0.625% 10/18/24 EUR         2,471       2,911
  ASB Finance Ltd.  0.750%  10/9/25 EUR         3,409       4,043
  ASB Finance Ltd.  0.250%  5/21/31 EUR        40,383      45,952
  BNZ International Funding Ltd.  0.500%  5/13/23 EUR         3,478       4,065
  BNZ International Funding Ltd.  0.625%   7/3/25 EUR        10,227      12,073
  Fonterra Co-operative Group Ltd.  9.375%  12/4/23 GBP           818       1,302
  Fonterra Co-operative Group Ltd.  0.750%  11/8/24 EUR         1,036       1,223
  Fonterra Co-operative Group Ltd.  4.000%  11/2/27 AUD           300         244
  Transpower New Zealand Ltd.  5.750%  8/28/23 AUD           320         260
  Westpac Securities NZ Ltd.  0.500%  1/17/24 EUR         6,818       7,998
  Westpac Securities NZ Ltd.  0.375%   2/5/24 CHF         3,950       4,368
  Westpac Securities NZ Ltd.  0.300%  6/25/24 EUR         5,455       6,363
                   94,686
Norway (0.4%)                              
  Avinor A/S  1.000%  4/29/25 EUR           100         119
  DNB Bank ASA  0.600%  9/25/23 EUR         4,091       4,805
  DNB Bank ASA  0.250%   4/9/24 EUR         2,335       2,725
  DNB Bank ASA  1.125%  3/20/28 EUR         6,341       7,427
  DNB Boligkreditt A/S  1.875% 11/21/22 EUR         8,863      10,494
  DNB Boligkreditt A/S  0.250%  4/18/23 EUR         8,114       9,458
  DNB Boligkreditt A/S  0.375% 11/20/24 EUR         6,818       7,989
  DNB Boligkreditt A/S  0.625%  6/19/25 EUR           100         118
  DNB Boligkreditt A/S  0.625%  1/14/26 EUR        10,227      12,118
49


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  DNB Boligkreditt A/S  0.250%   9/7/26 EUR        13,704      15,973
  Eika Boligkreditt A/S  2.125%  1/30/23 EUR         8,181       9,754
  Eika Boligkreditt A/S  0.375%  4/20/23 EUR           100         117
  Eika Boligkreditt A/S  0.375%  2/26/25 EUR         1,091       1,278
  Eika Boligkreditt A/S  0.010%  3/23/28 EUR        21,176      24,242
  Equinor ASA  2.875%  9/10/25 EUR         7,772      10,018
  Equinor ASA  0.750%  11/9/26 EUR         9,750      11,542
  Equinor ASA  1.250%  2/17/27 EUR        13,568      16,454
  Equinor ASA  6.125% 11/27/28 GBP           200         356
  Equinor ASA  6.875%  3/11/31 GBP         4,875       9,570
  Equinor ASA  1.375%  5/22/32 EUR        13,398      16,420
  Equinor ASA  1.625%  2/17/35 EUR         3,478       4,342
  Equinor ASA  1.625%  11/9/36 EUR         1,363       1,703
  Equinor ASA  4.250%  4/10/41 GBP           550       1,019
  Norsk Hydro ASA  1.125%  4/11/25 EUR           818         969
  Santander Consumer Bank A/S  0.750%   3/1/23 EUR        18,900      22,108
  Santander Consumer Bank A/S  0.125%  9/11/24 EUR        17,200      19,882
  SpareBank 1 Boligkreditt A/S  0.750%   9/5/22 EUR         6,818       7,963
  SpareBank 1 Boligkreditt A/S  0.375%   3/9/23 EUR         8,011       9,350
  SpareBank 1 Boligkreditt A/S  0.125%  5/14/26 EUR         6,818       7,916
  SpareBank 1 Boligkreditt A/S  0.250%  8/30/26 EUR        28,295      33,010
  SpareBank 1 Boligkreditt A/S  1.000%  1/30/29 EUR         6,818       8,322
  SpareBank 1 Boligkreditt A/S  0.125%  11/5/29 EUR         6,818       7,805
  Sparebank 1 Oestlandet  0.875%  3/13/23 EUR           100         117
  SpareBank 1 SMN  0.750%   7/3/23 EUR         1,841       2,162
  SpareBank 1 SMN  0.010%  2/18/28 EUR         6,776       7,583
  SpareBank 1 SR-Bank ASA  0.625%  3/25/24 EUR         2,727       3,201
  Sparebanken Vest Boligkreditt A/S  0.375%  2/14/24 EUR        21,176      24,804
  Sparebanken Vest Boligkreditt A/S  0.750%  2/27/25 EUR         6,818       8,088
  Sparebanken Vest Boligkreditt A/S  0.500%  2/12/26 EUR        35,568      41,908
  SR-Boligkreditt A/S  0.750%  1/18/23 EUR         6,818       7,990
  SR-Boligkreditt A/S  0.375%  10/3/24 EUR        13,091      15,334
  Statkraft A/S  2.500% 11/28/22 EUR         1,705       2,029
  Statkraft A/S  1.125%  3/20/25 EUR        10,227      12,208
  Statkraft A/S  1.500%  3/26/30 EUR         1,848       2,301
  Statnett SF  0.875%   3/8/25 EUR         3,409       4,035
  Statnett SF  1.250%  4/26/30 EUR         2,638       3,225
  Storebrand Livsforsikring A/S  1.875%  9/30/51 EUR         1,000       1,119
  Telenor ASA  2.500%  5/22/25 EUR         1,636       2,060
  Telenor ASA  0.750%  5/31/26 EUR        11,045      13,070
  Telenor ASA  1.125%  5/31/29 EUR         9,116      11,037
                   457,637
Poland (0.0%)                              
  ORLEN Capital AB  2.500%   6/7/23 EUR         3,886       4,669
Portugal (0.1%)                              
  Banco Santander Totta SA  0.875%  4/25/24 EUR           100         118
  Banco Santander Totta SA  1.250%  9/26/27 EUR         6,300       7,770
  Brisa-Concessao Rodoviaria SA  2.000%  3/22/23 EUR           200         238
  Brisa-Concessao Rodoviaria SA  2.375%  5/10/27 EUR         9,100      11,628
  EDP - Energias de Portugal SA  1.625%  4/15/27 EUR        11,300      13,877
  EDP Finance BV  2.375%  3/23/23 EUR           644         772
  EDP Finance BV  1.875%  9/29/23 EUR         6,068       7,289
  EDP Finance BV  8.625%   1/4/24 GBP         6,140       9,700
  EDP Finance BV  1.125%  2/12/24 EUR         7,772       9,231
  EDP Finance BV  2.000%  4/22/25 EUR        11,045      13,586
50


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  EDP Finance BV  1.875% 10/13/25 EUR           818       1,007
  EDP Finance BV  1.625%  1/26/26 EUR        12,613      15,416
  EDP Finance BV  0.375%  9/16/26 EUR         6,818       7,894
  EDP Finance BV  1.500% 11/22/27 EUR         1,960       2,403
  Galp Gas Natural Distribuicao SA  1.375%  9/19/23 EUR         1,700       2,012
  Ren Finance BV  1.750%  1/18/28 EUR         1,807       2,234
                   105,175
Romania (0.0%)                              
  NE Property BV  1.875%  10/9/26 EUR         4,091       4,866
Russia (0.0%)                              
  Coca-Cola HBC Finance BV  1.875% 11/11/24 EUR           200         244
  Gazprom PJSC Via Gaz Capital SA  3.125% 11/17/23 EUR           500         607
  Gazprom PJSC Via Gaz Capital SA  2.949%  1/24/24 EUR           500         606
  Gazprom PJSC Via Gaz Capital SA  4.250%   4/6/24 GBP         2,484       3,577
  Gazprom PJSC via Gaz Finance plc  2.950%  4/15/25 EUR         7,140       8,729
  Russian Railways Via RZD Capital plc  7.487%  3/25/31 GBP         1,363       2,471
                   16,234
Singapore (0.1%)                              
  DBS Bank Ltd.  0.375%  1/23/24 EUR         7,499       8,763
  DBS Group Holdings Ltd.  1.500%  4/11/28 EUR         3,409       4,023
  DBS Group Holdings Ltd.  3.980% 12/31/99 SGD         1,000         772
  Oversea-Chinese Banking Corp. Ltd.  0.375%   3/1/23 EUR         1,405       1,638
  Oversea-Chinese Banking Corp. Ltd.  0.625%  4/18/25 EUR         6,818       8,039
  Oversea-Chinese Banking Corp. Ltd.  4.000% 12/31/99 SGD         1,750       1,336
  Temasek Financial I Ltd.  0.500% 11/20/31 EUR        14,999      17,208
  Temasek Financial I Ltd.  5.125%  7/26/40 GBP         4,431       9,393
  Temasek Financial I Ltd.  1.250% 11/20/49 EUR         3,363       4,430
  United Overseas Bank Ltd.  0.500%  1/16/25 EUR         8,523      10,010
  United Overseas Bank Ltd.  0.100%  5/25/29 EUR        19,200      21,927
                   87,539
South Africa (0.0%)                              
  Anglo American Capital plc  1.625%  9/18/25 EUR           250         302
  Anglo American Capital plc  1.625%  3/11/26 EUR         5,200       6,248
                   6,550
South Korea (0.0%)                              
3 LG Chem Ltd.  0.500%  4/15/23 EUR           750         872
  Shinhan Bank Co. Ltd.  1.340%  8/27/22 KRW     6,000,000       5,132
                   6,004
Spain (0.8%)                              
  Abertis Infraestructuras SA  3.750%  6/20/23 EUR         6,900       8,470
  Abertis Infraestructuras SA  2.500%  2/27/25 EUR           200         249
  Abertis Infraestructuras SA  0.625%  7/15/25 EUR         2,700       3,153
  Abertis Infraestructuras SA  1.375%  5/20/26 EUR           600         718
  Abertis Infraestructuras SA  3.375% 11/27/26 GBP         2,000       2,910
  Abertis Infraestructuras SA  1.000%  2/27/27 EUR         1,100       1,292
  Abertis Infraestructuras SA  2.375%  9/27/27 EUR         4,700       5,906
  Abertis Infraestructuras SA  1.250%   2/7/28 EUR         3,400       4,012
  Abertis Infraestructuras SA  2.250%  3/29/29 EUR         7,600       9,509
  Abertis Infraestructuras SA  3.000%  3/27/31 EUR         2,400       3,182
  Abertis Infraestructuras SA  1.875%  3/26/32 EUR         4,100       4,966
  ACS Servicios Comunicaciones y Energia SA  1.875%  4/20/26 EUR         2,600       3,149
  Amadeus IT Group SA  1.875%  9/24/28 EUR         5,000       6,106
  AYT Cedulas Cajas Global FTA  3.750% 12/14/22 EUR           700         846
51


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  AYT Cedulas Cajas Global FTA  4.250% 10/25/23 EUR           900       1,130
  AYT Cedulas Cajas Global FTA  4.750%  5/25/27 EUR         7,300      10,475
  AyT Cedulas Cajas X Fondo de Titulizacion de Activos  3.750%  6/30/25 EUR         6,800       8,887
  Banco Bilbao Vizcaya Argentaria SA  3.875%  1/30/23 EUR         4,100       4,985
  Banco Bilbao Vizcaya Argentaria SA  0.625%  3/18/23 EUR        14,300      16,742
  Banco Bilbao Vizcaya Argentaria SA  1.125%  2/28/24 EUR         2,000       2,370
  Banco Bilbao Vizcaya Argentaria SA  2.250%  6/12/24 EUR         2,000       2,455
  Banco Bilbao Vizcaya Argentaria SA  0.375%  10/2/24 EUR         2,000       2,329
  Banco Bilbao Vizcaya Argentaria SA  4.000%  2/25/25 EUR         4,800       6,290
  Banco Bilbao Vizcaya Argentaria SA  0.875% 11/22/26 EUR        10,200      12,257
  Banco Bilbao Vizcaya Argentaria SA  0.500%  1/14/27 EUR         7,200       8,261
  Banco Bilbao Vizcaya Argentaria SA  3.500%  2/10/27 EUR         4,600       6,015
  Banco Bilbao Vizcaya Argentaria SA  1.000%  1/16/30 EUR        14,300      16,542
  Banco de Sabadell SA  0.875%   3/5/23 EUR         3,400       3,974
  Banco de Sabadell SA  0.125% 10/20/23 EUR         5,300       6,163
  Banco de Sabadell SA  1.625%   3/7/24 EUR        12,700      15,183
  Banco de Sabadell SA  0.625%  6/10/24 EUR        20,800      24,479
  Banco de Sabadell SA  1.125%  3/11/27 EUR         4,500       5,303
  Banco Santander SA  1.375% 12/14/22 EUR         4,700       5,535
  Banco Santander SA  0.750%  6/12/23 CHF         3,000       3,318
  Banco Santander SA  2.750%  9/12/23 GBP         3,600       5,051
  Banco Santander SA  1.375%  7/31/24 GBP         2,700       3,696
  Banco Santander SA  1.125% 11/27/24 EUR         9,800      11,730
  Banco Santander SA  0.463%  12/5/24 JPY     1,400,000      12,315
  Banco Santander SA  1.125%  1/17/25 EUR         2,700       3,205
  Banco Santander SA  2.500%  3/18/25 EUR         6,600       8,144
  Banco Santander SA  1.000%   4/7/25 EUR        29,300      35,006
  Banco Santander SA  1.375%   1/5/26 EUR         4,200       5,043
  Banco Santander SA  1.500%  1/25/26 EUR        17,700      21,712
  Banco Santander SA  3.875%   2/6/26 EUR           400         538
  Banco Santander SA  3.250%   4/4/26 EUR         6,400       8,185
  Banco Santander SA  0.300%  10/4/26 EUR         6,800       7,842
  Banco Santander SA  0.500%   2/4/27 EUR         3,400       3,904
  Banco Santander SA  0.500%  3/24/27 EUR         9,000      10,360
  Banco Santander SA  4.625%   5/4/27 EUR         1,000       1,446
  Banco Santander SA  2.125%   2/8/28 EUR         1,700       2,082
  Banco Santander SA  0.310%   6/9/28 CHF         5,800       6,278
  Banco Santander SA  1.125% 10/25/28 EUR         3,500       4,314
  Banco Santander SA  0.875%   5/9/31 EUR         6,900       8,404
  Banco Santander SA  0.100%  2/27/32 EUR        10,800      12,201
  Banco Santander SA  2.000% 11/27/34 EUR         7,900      10,947
  Bankinter SA  1.000%   2/5/25 EUR         5,600       6,674
  Bankinter SA  1.250%   2/7/28 EUR           500         614
  CaixaBank SA  1.125%  1/12/23 EUR         1,400       1,643
  CaixaBank SA  1.000%   2/8/23 EUR         4,200       4,936
  CaixaBank SA  0.750%  4/18/23 EUR         1,100       1,288
  CaixaBank SA  1.750% 10/24/23 EUR         6,800       8,130
  CaixaBank SA  2.375%   2/1/24 EUR         4,500       5,465
  CaixaBank SA  2.625%  3/21/24 EUR         3,800       4,679
  CaixaBank SA  1.125%  5/17/24 EUR         5,400       6,412
  CaixaBank SA  4.000%   2/3/25 EUR         8,400      10,979
  CaixaBank SA  3.875%  2/17/25 EUR        11,500      14,989
  CaixaBank SA  0.625%  3/27/25 EUR        12,200      14,395
  CaixaBank SA  1.000%  9/25/25 EUR         7,600       9,093
52


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  CaixaBank SA  1.125%  3/27/26 EUR         6,800       8,123
  CaixaBank SA  1.375%  6/19/26 EUR         3,400       4,061
  CaixaBank SA  0.750%   7/9/26 EUR        16,700      19,616
  CaixaBank SA  0.750%  7/10/26 EUR        11,800      13,847
  CaixaBank SA  1.125% 11/12/26 EUR         3,400       4,009
  CaixaBank SA  1.250%  1/11/27 EUR           600         733
  CaixaBank SA  1.000%  1/17/28 EUR         3,700       4,488
  CaixaBank SA  2.750%  7/14/28 EUR         2,700       3,239
  CaixaBank SA  2.250%  4/17/30 EUR         9,500      11,457
  CaixaBank SA  4.125%  3/24/36 EUR         3,200       5,560
  Caja Rural de Navarra SCC  0.875%   5/8/25 EUR         4,300       5,098
  Cajamar Caja Rural SCC  0.875%  6/18/23 EUR        10,200      11,980
  Canal de Isabel II Gestion SA  1.680%  2/26/25 EUR         2,400       2,901
  Cedulas TDA 6 Fondo de Titulizacion de Activos  3.875%  5/23/25 EUR           800       1,050
  Criteria Caixa SA  1.500%  5/10/23 EUR         1,800       2,129
  Criteria Caixa SA  0.875% 10/28/27 EUR         4,300       4,978
  Enagas Financiaciones SA  1.000%  3/25/23 EUR           100         118
  Enagas Financiaciones SA  1.250%   2/6/25 EUR         3,500       4,206
  Enagas Financiaciones SA  1.375%   5/5/28 EUR           200         247
  Eurocaja Rural SCC  0.875%  5/27/24 EUR         3,400       4,017
  FCC Aqualia SA  2.629%   6/8/27 EUR         1,500       1,907
  Ferrovial Emisiones SA  2.500%  7/15/24 EUR         3,400       4,183
  Iberdrola Finanzas SA  7.375%  1/29/24 GBP         3,150       4,889
  Iberdrola Finanzas SA  1.000%   3/7/24 EUR         4,000       4,738
  Iberdrola Finanzas SA  1.000%   3/7/25 EUR           300         357
  Iberdrola Finanzas SA  0.875%  6/16/25 EUR         8,200       9,743
  Iberdrola Finanzas SA  1.621% 11/29/29 EUR           600         759
  Iberdrola International BV  1.125%  1/27/23 EUR           200         235
  Iberdrola International BV  1.750%  9/17/23 EUR         6,800       8,149
  Iberdrola International BV  1.875%  10/8/24 EUR           400         488
  Iberdrola International BV  0.375%  9/15/25 EUR        11,300      13,204
  Iberdrola International BV  1.125%  4/21/26 EUR         2,900       3,502
  Iberdrola International BV  1.874% 12/31/99 EUR        13,400      15,786
  Iberdrola International BV  1.875% 12/31/99 EUR           700         825
  IE2 Holdco SAU  2.875%   6/1/26 EUR        13,700      17,403
  Inmobiliaria Colonial Socimi SA  1.450% 10/28/24 EUR         3,000       3,591
  Inmobiliaria Colonial Socimi SA  1.625% 11/28/25 EUR         5,700       6,908
  Inmobiliaria Colonial Socimi SA  2.000%  4/17/26 EUR         2,700       3,320
  LEG Immobilien SE  1.000%  3/14/23 EUR        12,400      14,582
  Mapfre SA  1.625%  5/19/26 EUR         1,300       1,605
  Mapfre SA  4.375%  3/31/47 EUR         3,000       3,988
  Mapfre SA  4.125%   9/7/48 EUR         4,800       6,441
  Merlin Properties Socimi SA  2.225%  4/25/23 EUR           400         475
  Merlin Properties Socimi SA  1.750%  5/26/25 EUR         6,593       7,966
  Merlin Properties Socimi SA  1.375%   6/1/30 EUR         7,000       7,991
  Merlin Properties Socimi SA  1.875%  12/4/34 EUR         4,100       4,684
  Naturgy Capital Markets SA  1.125%  4/11/24 EUR         3,000       3,555
  Naturgy Finance BV  2.875%  3/11/24 EUR         2,700       3,334
  Naturgy Finance BV  0.875%  5/15/25 EUR        10,400      12,327
  Naturgy Finance BV  1.250%  4/19/26 EUR         6,000       7,227
  Naturgy Finance BV  1.375%  1/19/27 EUR           200         243
  Naturgy Finance BV  1.500%  1/29/28 EUR         3,400       4,182
  Naturgy Finance BV  0.750% 11/28/29 EUR         4,300       5,044
  NorteGas Energia Distribucion SAU  0.918%  9/28/22 EUR           400         465
53


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  NorteGas Energia Distribucion SAU  2.065%  9/28/27 EUR         7,159       8,848
  Programa Cedulas TDA Fondo de Titulizacion de Activos  4.250%  3/28/27 EUR         5,800       8,160
  Programa Cedulas TDA Fondo de Titulizacion de Activos  4.250%  4/10/31 EUR        13,500      21,201
  Prosegur Cash SA  1.375%   2/4/26 EUR         1,000       1,204
  Red Electrica Financiaciones SAU  2.125%   7/1/23 EUR         4,600       5,520
  Red Electrica Financiaciones SAU  1.125%  4/24/25 EUR           300         360
  Red Electrica Financiaciones SAU  1.000%  4/21/26 EUR           600         719
  Red Electrica Financiaciones SAU  1.250%  3/13/27 EUR           600         730
  Redexis Gas Finance BV  1.875%  5/28/25 EUR         4,000       4,853
  Redexis Gas Finance BV  1.875%  4/27/27 EUR         2,863       3,504
  Repsol International Finance BV  2.250% 12/10/26 EUR         6,900       8,791
  Repsol International Finance BV  0.250%   8/2/27 EUR         1,000       1,150
  Santander Consumer Finance SA  0.875%  5/30/23 EUR         2,200       2,587
  Santander Consumer Finance SA  1.125%  10/9/23 EUR        10,200      12,079
  Santander Consumer Finance SA  1.000%  2/27/24 EUR         7,500       8,871
  Santander Consumer Finance SA  0.375%  6/27/24 EUR         6,800       7,923
  Santander Consumer Finance SA  0.375%  1/17/25 EUR         6,200       7,210
  Telefonica Emisiones SA  5.289%  12/9/22 GBP           850       1,219
  Telefonica Emisiones SA  3.987%  1/23/23 EUR        13,600      16,545
  Telefonica Emisiones SA  1.069%   2/5/24 EUR        11,900      14,070
  Telefonica Emisiones SA  1.460%  4/13/26 EUR         2,700       3,287
  Telefonica Emisiones SA  1.447%  1/22/27 EUR         6,200       7,539
  Telefonica Emisiones SA  2.318% 10/17/28 EUR           700         907
  Telefonica Emisiones SA  1.788%  3/12/29 EUR         5,800       7,278
  Telefonica Emisiones SA  5.445%  10/8/29 GBP         2,300       3,933
  Telefonica Emisiones SA  2.932% 10/17/29 EUR         7,600      10,333
  Telefonica Emisiones SA  0.664%   2/3/30 EUR         8,700      10,046
  Telefonica Emisiones SA  1.807%  5/21/32 EUR         2,000       2,503
  Telefonica Emisiones SA  1.957%   7/1/39 EUR         5,455       6,955
  Telefonica Europe BV  5.875%  2/14/33 EUR           567         990
                   974,129
Sweden (1.0%)                              
  Akelius Residential Property AB  1.125%  3/14/24 EUR         8,114       9,591
  Akelius Residential Property AB  1.750%   2/7/25 EUR         1,023       1,236
  Akelius Residential Property AB  2.375%  8/15/25 GBP         2,045       2,876
  Akelius Residential Property Financing BV  1.125%  1/11/29 EUR         3,970       4,558
  Akelius Residential Property Financing BV  0.750%  2/22/30 EUR        10,000      11,028
  Atlas Copco AB  2.500%  2/28/23 EUR         3,068       3,673
  Atlas Copco AB  0.625%  8/30/26 EUR           430         508
  Balder Finland OYJ  1.375%  5/24/30 EUR        10,000      11,357
  Danske Hypotek AB  1.000% 12/21/22 SEK       136,000      16,009
  Essity AB  1.125%  3/27/24 EUR         1,159       1,374
  Essity AB  1.625%  3/30/27 EUR         1,091       1,343
  Essity AB  0.250%   2/8/31 EUR         8,470       9,331
  Fastighets AB Balder  1.875%  3/14/25 EUR           200         241
  Fastighets AB Balder  1.875%  1/23/26 EUR         6,137       7,409
  Fastighets AB Balder  1.125%  1/29/27 EUR         6,477       7,537
  Fastighets AB Balder  1.250%  1/28/28 EUR         1,296       1,495
  Investor AB  4.500%  5/12/23 EUR         1,363       1,690
  Lansforsakringar Bank AB  0.875%  9/25/23 EUR           100         118
  Lansforsakringar Hypotek AB  0.250%  4/12/23 EUR           500         583
  Lansforsakringar Hypotek AB  1.250%  9/20/23 SEK       374,900      44,512
  Lansforsakringar Hypotek AB  0.375%  3/14/24 EUR           954       1,117
54


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Lansforsakringar Hypotek AB  1.500%  9/18/24 SEK       109,000      13,115
  Lansforsakringar Hypotek AB  1.000%  9/15/27 SEK       127,100      15,111
  Molnlycke Holding AB  1.875%  2/28/25 EUR         3,409       4,143
  Nordea Hypotek AB  1.250%  9/20/23 SEK       340,900      40,560
  Nordea Hypotek AB  1.000%  9/18/24 SEK       927,800     110,433
  Nordea Hypotek AB  0.500%  9/16/26 SEK       100,000      11,470
  Sagax AB  2.250%  3/13/25 EUR         2,000       2,432
  Sagax Euro Mtn NL BV  0.750%  1/26/28 EUR         3,000       3,399
  Samhallsbyggnadsbolaget i Norden AB  1.750%  1/14/25 EUR         4,091       4,907
  Samhallsbyggnadsbolaget i Norden AB  1.000%  8/12/27 EUR         6,818       7,881
  SBB Treasury OYJ  0.750% 12/14/28 EUR         6,818       7,590
  SBB Treasury OYJ  1.125% 11/26/29 EUR         5,000       5,648
  Skandinaviska Enskilda Banken AB  1.000% 12/20/23 SEK       136,000      16,109
  Skandinaviska Enskilda Banken AB  1.000% 12/18/24 SEK        32,000       3,804
  Skandinaviska Enskilda Banken AB  1.000% 12/17/25 SEK       160,000      19,018
  Skandinaviska Enskilda Banken AB  0.375%   2/9/26 EUR        13,637      16,005
  Skandinaviska Enskilda Banken AB  0.375%  2/11/27 EUR         4,773       5,503
  Skandinaviska Enskilda Banken AB  0.750% 11/15/27 EUR           750         900
  Skandinaviska Enskilda Banken AB  0.375%  6/21/28 EUR        10,000      11,421
  Skandinaviska Enskilda Banken AB  1.375% 10/31/28 EUR        21,528      25,477
  Skandinaviska Enskilda Banken AB  0.625% 11/12/29 EUR         6,818       7,898
  Skandinaviska Enskilda Banken AB  1.000% 12/19/29 SEK       100,000      11,794
  Stadshypotek AB  0.375%  2/22/23 EUR         2,761       3,222
  Stadshypotek AB  1.500%   6/1/23 SEK       395,000      46,988
  Stadshypotek AB  0.375%  2/21/24 EUR         4,704       5,510
  Stadshypotek AB  1.500%   3/1/24 SEK       238,000      28,509
  Stadshypotek AB  1.500%  12/3/24 SEK       832,000     100,273
  Stadshypotek AB  0.500%  7/11/25 EUR         2,045       2,410
  Stadshypotek AB  0.375%  3/13/26 EUR        22,609      26,529
  Stadshypotek AB  0.500%   6/1/26 SEK       510,000      59,269
  Stadshypotek AB  0.125%  10/5/26 EUR           500         580
  Stadshypotek AB  0.750%  11/1/27 EUR         4,773       5,732
  Stadshypotek AB  2.000%   9/1/28 SEK        68,000       8,392
  Svenska Handelsbanken AB  1.125% 12/14/22 EUR         9,545      11,222
  Svenska Handelsbanken AB  0.125%  6/18/24 EUR         3,409       3,969
  Svenska Handelsbanken AB  1.000%  4/15/25 EUR        12,848      15,352
  Svenska Handelsbanken AB  0.050%   9/3/26 EUR         6,886       7,873
  Svenska Handelsbanken AB  1.250%   3/2/28 EUR         3,409       4,001
  Svenska Handelsbanken AB  1.625%   3/5/29 EUR         3,898       4,657
  Svenska Handelsbanken AB  0.500%  2/18/30 EUR         6,818       7,778
  Sveriges Sakerstallda Obligationer AB  0.250%  4/19/23 EUR         3,409       3,975
  Sveriges Sakerstallda Obligationer AB  1.000%  6/12/24 SEK       238,000      28,254
  Sveriges Sakerstallda Obligationer AB  0.500%  1/29/25 EUR         7,499       8,824
  Sveriges Sakerstallda Obligationer AB  0.500%  6/11/25 SEK       512,000      59,607
  Sveriges Sakerstallda Obligationer AB  0.625% 10/30/25 EUR         3,409       4,038
  Sveriges Sakerstallda Obligationer AB  2.000%  6/17/26 SEK        80,000       9,816
  Sveriges Sakerstallda Obligationer AB  0.875%  3/29/27 EUR           644         775
  Swedbank AB  1.625% 12/28/22 GBP         3,886       5,360
  Swedbank AB  0.400%  8/29/23 EUR         3,478       4,069
  Swedbank AB  0.750%   5/5/25 EUR         4,091       4,837
  Swedbank AB  0.300%  5/20/27 EUR        16,200      18,589
  Swedbank AB  1.000% 11/22/27 EUR         4,022       4,692
  Swedbank AB  0.200%  1/12/28 EUR        13,470      15,178
  Swedbank AB  1.500%  9/18/28 EUR         2,000       2,367
  Swedbank Hypotek AB  1.000% 12/20/23 SEK       272,800      32,084
55


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Swedbank Hypotek AB  0.400%   5/8/24 EUR         3,409       3,996
  Swedbank Hypotek AB  1.000%  9/18/24 SEK       269,300      31,782
  Swedbank Hypotek AB  0.500%   2/5/26 EUR         6,818       8,041
  Tele2 AB  1.125%  5/15/24 EUR         5,659       6,696
  Tele2 AB  2.125%  5/15/28 EUR         2,227       2,795
  Tele2 AB  0.750%  3/23/31 EUR         1,000       1,132
  Telia Co. AB  4.750% 11/16/21 EUR         2,045       2,368
  Telia Co. AB  3.625%  2/14/24 EUR           100         126
  Telia Co. AB  3.875%  10/1/25 EUR         1,363       1,804
  Telia Co. AB  3.000%   9/7/27 EUR           100         134
  Telia Co. AB  0.125% 11/27/30 EUR         2,541       2,796
  Telia Co. AB  2.125%  2/20/34 EUR         8,250      10,705
  Telia Co. AB  1.625%  2/23/35 EUR           200         250
  Telia Co. AB  3.000%   4/4/78 EUR           100         119
  Vattenfall AB  0.050% 10/15/25 EUR         4,022       4,630
  Vattenfall AB  6.875%  4/15/39 GBP         3,409       7,989
                   1,112,298
Switzerland (1.0%)                              
  Adecco International Financial Services BV  1.000%  12/2/24 EUR           681         810
  Aquarius & Investments plc for Zurich Insurance Co. Ltd.  4.250%  10/2/43 EUR         3,672       4,570
  Argentum Netherlands BV for Givaudan SA  2.000%  9/17/30 EUR         5,800       7,464
  Argentum Netherlands BV for Swiss Life AG  4.375% 12/29/49 EUR         6,137       7,945
  Argentum Netherlands BV for Zurich Insurance Co. Ltd.  3.500%  10/1/46 EUR        15,647      20,362
  Argentum Netherlands BV for Zurich Insurance Co. Ltd.  2.750%  2/19/49 EUR         1,363       1,733
  Basellandschaftliche Kantonalbank  0.000%  3/23/23 CHF         4,090       4,490
  Basellandschaftliche Kantonalbank  0.375%  5/13/30 CHF         3,410       3,751
  Basler Kantonalbank  0.000%  4/11/22 CHF         3,410       3,735
  Basler Kantonalbank  0.375%  8/10/23 CHF         3,610       3,992
  Basler Kantonalbank  0.300%  6/22/27 CHF         3,065       3,385
  Cloverie plc for Zurich Insurance Co. Ltd.  1.750%  9/16/24 EUR         3,682       4,489
  Credit Suisse AG  1.000%   6/7/23 EUR         3,682       4,337
  Credit Suisse AG  1.500%  4/10/26 EUR           644         780
  Credit Suisse Group AG  1.000%  4/14/23 CHF         8,180       9,067
  Credit Suisse Group AG  1.250%  7/17/25 EUR         4,773       5,648
  Credit Suisse Group AG  2.125%  9/12/25 GBP         9,750      13,453
  Credit Suisse Group AG  3.250%   4/2/26 EUR        25,227      31,831
  Credit Suisse Group AG  1.000%  6/24/27 EUR         4,663       5,459
  Credit Suisse Group AG  0.650%  1/14/28 EUR        10,910      12,450
  Credit Suisse Group AG  2.250%   6/9/28 GBP         3,205       4,403
  Credit Suisse Group AG  0.650%  9/10/29 EUR         5,018       5,626
  Credit Suisse Schweiz AG  0.000%  7/31/25 CHF         7,770       8,520
  ELM BV for Helvetia Schweizerische Versicherungsgesellschaft AG  3.375%  9/29/47 EUR         4,091       5,284
  ELM BV for Swiss Reinsurance Co. Ltd.  2.600% 12/29/49 EUR        11,557      14,208
  Firmenich Productions Participations SAS  1.375% 10/30/26 EUR         6,818       8,304
  Firmenich Productions Participations SAS  1.750%  4/30/30 EUR         6,818       8,542
  Flughafen Zurich AG  1.500%  4/17/23 CHF         2,045       2,286
  Givaudan Finance Europe BV  1.000%  4/22/27 EUR         6,818       8,176
  Helvetia Europe SA  2.750%  9/30/41 EUR         9,000      11,229
  Holcim Finance Luxembourg SA  1.375%  5/26/23 EUR         7,159       8,447
  Holcim Finance Luxembourg SA  3.000%  1/22/24 EUR         3,818       4,715
  Holcim Finance Luxembourg SA  2.375%   4/9/25 EUR           300         372
56


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Holcim Finance Luxembourg SA  0.500% 11/29/26 EUR         3,000       3,496
  Holcim Finance Luxembourg SA  2.250%  5/26/28 EUR         7,068       9,028
  Holcim Finance Luxembourg SA  0.500%  4/23/31 EUR        10,227      11,237
  Holcim Ltd.  3.000% 11/22/22 CHF         2,045       2,309
  Holcim Sterling Finance Netherlands BV  3.000%  5/12/32 GBP           644         935
  Luzerner Kantonalbank AG  1.125%  6/30/23 CHF         5,455       6,105
  Nestle Finance International Ltd.  2.250% 11/30/23 GBP           614         864
  Nestle Finance International Ltd.  0.375%  1/18/24 EUR         8,181       9,573
  Nestle Finance International Ltd.  1.250%  11/2/29 EUR         2,045       2,519
  Nestle Finance International Ltd.  1.500%   4/1/30 EUR         6,818       8,589
  Nestle Finance International Ltd.  0.000%   3/3/33 EUR         5,929       6,319
  Nestle Finance International Ltd.  1.750%  11/2/37 EUR         4,159       5,517
  Nestle Finance International Ltd.  0.375%  12/3/40 EUR         4,773       5,046
  Nestle Finance International Ltd.  0.875%  6/14/41 EUR         7,000       8,029
  Novartis AG  0.625% 11/13/29 CHF         1,870       2,098
  Novartis Finance SA  0.500%  8/14/23 EUR         3,409       3,990
  Novartis Finance SA  0.125%  9/20/23 EUR        13,704      15,958
  Novartis Finance SA  1.625%  11/9/26 EUR         3,409       4,247
  Novartis Finance SA  0.625%  9/20/28 EUR           100         118
  Novartis Finance SA  1.375%  8/14/30 EUR         5,522       6,858
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.875%  2/14/22 CHF         2,045       2,256
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.000%   7/5/22 CHF        11,930      13,090
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.375%  8/15/22 CHF         5,110       5,672
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.125%  6/28/23 CHF        41,590      47,373
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.250%  9/29/23 CHF         4,755       5,357
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.375%  1/25/24 CHF         2,385       2,763
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.375%  2/14/24 CHF         5,455       6,191
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%  3/25/24 CHF         3,410       3,763
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.000%  5/21/24 CHF         7,225       8,150
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375% 10/15/25 CHF         3,410       3,797
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375%  1/26/26 CHF         5,455       6,074
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.500%  3/30/26 CHF         8,110       9,868
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250%  9/18/26 CHF         7,295       8,075
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.750% 12/15/26 CHF         2,045       2,550
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250%  1/18/27 CHF        13,635      15,088
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.500%  2/16/27 CHF         1,365       1,688
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375%  5/12/27 CHF        17,045      18,985
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%   5/5/28 CHF         5,455       6,112
57


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375%  7/10/28 CHF         3,410       3,791
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%   9/6/28 CHF        19,090      20,847
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.625%  10/9/28 CHF        10,225      11,559
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%  1/22/29 CHF        30,020      33,644
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%   5/8/29 CHF         5,110       5,567
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%  6/15/29 CHF        10,225      11,454
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.375%  9/20/29 CHF         1,365       1,630
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250%  4/15/30 CHF         6,820       7,465
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.625%   7/3/30 CHF         1,365       1,671
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.625%  5/16/31 CHF         2,385       2,694
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%  7/15/31 CHF         6,305       6,789
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.875%  9/15/31 CHF        23,530      29,737
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.000%  5/12/32 CHF         5,110       5,990
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.250%  8/13/32 CHF         6,955       9,176
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125% 11/19/32 CHF         6,775       7,255
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.625%  4/25/33 CHF         3,410       3,850
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.500%   8/2/33 CHF        11,930      14,800
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.875%   5/7/35 CHF         1,365       1,592
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%  10/5/35 CHF         3,410       3,804
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250% 10/14/36 CHF         2,760       2,957
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.625%  1/23/37 CHF         2,725       3,087
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.875%  6/25/37 CHF         3,750       4,426
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375%   7/8/39 CHF         5,660       6,218
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.500%  12/5/40 CHF         3,410       4,519
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%  6/17/41 CHF         5,615       6,341
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250%  10/6/42 CHF         6,820       7,360
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.250%   2/3/22 CHF         2,725       2,990
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.125%  4/28/23 CHF         4,550       5,089
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  2.250%  6/16/23 CHF         7,155       8,160
58


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  7/25/23 CHF        11,585      12,749
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.375%  8/30/23 CHF         5,110       5,662
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.125%  3/12/24 CHF        10,225      11,284
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.750%  4/15/24 CHF           680         762
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  6/14/24 CHF        22,160      24,374
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.750%  9/23/24 CHF         1,500       1,685
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.125%  12/2/24 CHF        10,225      11,294
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.500%  7/28/25 CHF         3,410       3,814
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  2.000% 10/30/25 CHF         2,045       2,423
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.250%  12/1/25 CHF         9,785      10,841
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.625%  6/17/26 CHF         4,775       5,620
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.050%  11/6/26 CHF         6,820       7,473
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  1/27/27 CHF        10,000      10,920
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.375%  3/19/27 CHF         5,455       6,394
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.250%  2/11/28 CHF           835         922
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  3/13/28 CHF        12,000      13,035
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.000%  9/22/28 CHF         3,410       3,949
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.300%   4/9/29 CHF        23,635      26,263
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.500%  5/21/29 CHF         7,965       9,570
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.625%  7/16/29 CHF        16,360      18,462
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.500%  4/30/30 CHF         3,410       3,812
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  7/19/30 CHF        25,470      27,511
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.500%  9/20/30 CHF        11,930      13,324
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.550%  1/29/31 CHF         6,475       7,272
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.300%   6/6/31 CHF         5,110       5,603
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.125%   9/2/31 CHF         4,775       5,128
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.650%  2/15/33 CHF         6,820       7,724
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.500%  5/15/34 CHF         4,090       4,560
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.200%  7/13/35 CHF        10,225      10,924
59


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.600% 12/11/35 CHF         8,860       9,992
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  2/15/36 CHF        20,000      20,748
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.700%   3/4/39 CHF         3,410       3,949
  Richemont International Holding SA  1.000%  3/26/26 EUR        10,500      12,570
  Richemont International Holding SA  1.125%  5/26/32 EUR         8,470      10,240
  Richemont International Holding SA  2.000%  3/26/38 EUR        10,500      13,942
  Richemont International Holding SA  1.625%  5/26/40 EUR         6,818       8,612
  Roche Finance Europe BV  0.500%  2/27/23 EUR         6,137       7,158
  Roche Finance Europe BV  0.875%  2/25/25 EUR           644         767
  Swiss Re Finance Luxembourg SA  2.534%  4/30/50 EUR         7,500       9,378
  Swisscom AG  1.750%  7/10/24 CHF         1,365       1,566
  UBS Group AG  1.750% 11/16/22 EUR         3,409       4,026
  UBS Group AG  2.125%   3/4/24 EUR           600         728
  UBS Group AG  1.500% 11/30/24 EUR         5,250       6,259
  UBS Group AG  1.250%  4/17/25 EUR        14,318      17,013
  UBS Group AG  0.250%  1/29/26 EUR         3,409       3,938
  UBS Group AG  1.250%   9/1/26 EUR        18,068      21,665
  UBS Group AG  0.250%  2/24/28 EUR         8,470       9,575
  UBS Group AG  0.250%  11/5/28 EUR        13,470      15,226
  Zuercher Kantonalbank  0.250%  1/27/26 CHF         3,410       3,767
  Zuercher Kantonalbank  0.125%  5/13/26 CHF         1,120       1,230
  Zurich Finance Australia Ltd.  3.477%  5/31/23 AUD           590         457
  Zurich Finance Ireland Designated Activity Co.  1.625%  6/17/39 EUR        10,227      12,925
                   1,223,097
United Arab Emirates (0.0%)                              
  DP World Ltd.  2.375%  9/25/26 EUR           400         491
  DP World Ltd.  4.250%  9/25/30 GBP         1,363       2,068
  Emirates NBD Bank PJSC  4.750%   2/9/28 AUD         2,110       1,710
  Emirates NBD Bank PJSC  3.050%  2/26/30 AUD         1,570       1,128
  Emirates Telecommunications Group Co. PJSC  2.750%  6/18/26 EUR         4,773       6,186
  First Abu Dhabi Bank PJSC  0.125%  2/16/26 EUR         2,800       3,222
  MDGH - GMTN BV  3.625%  5/30/23 EUR         2,045       2,504
  MDGH - GMTN BV  6.875%  3/14/26 GBP           516         864
                   18,173
United Kingdom (2.5%)                              
  3i Group plc  5.750%  12/3/32 GBP         3,409       6,163
  A2Dominion Housing Group Ltd.  3.500% 11/15/28 GBP         4,227       6,258
  AA Bond Co. Ltd.  6.269%   7/2/43 GBP         1,363       2,110
  ABP Finance plc  6.250% 12/14/26 GBP         2,932       4,808
  Admiral Group plc  5.500%  7/25/24 GBP         1,636       2,451
  Affinity Sutton Capital Markets plc  4.250%  10/8/42 GBP         1,023       1,923
  Affinity Water Finance 2004 plc  5.875%  7/13/26 GBP         8,966      14,715
  Affinity Water Finance plc  4.500%  3/31/36 GBP         3,068       5,488
  Affordable Housing Finance plc  3.800%  5/20/44 GBP         3,409       6,603
  Affordable Housing Finance plc  2.893%  8/11/45 GBP         1,822       3,154
  Anglian Water Services Financing plc  6.875%  8/21/23 GBP         2,932       4,427
  Anglian Water Services Financing plc  1.625%  8/10/25 GBP         3,218       4,468
  Anglian Water Services Financing plc  2.625%  6/15/27 GBP         2,454       3,550
  Anglian Water Services Financing plc  4.500%  10/5/27 GBP         1,904       3,040
  Anglian Water Services Financing plc  6.625%  1/15/29 GBP           496         907
  Annington Funding plc  1.650%  7/12/24 EUR         2,591       3,114
  Annington Funding plc  2.646%  7/12/25 GBP         2,045       2,891
60


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Annington Funding plc  3.685%  7/12/34 GBP         4,977       7,648
  Annington Funding plc  3.935%  7/12/47 GBP         4,954       8,334
  Arqiva Financing plc  4.882% 12/31/32 GBP         3,330       5,213
  Artesian Finance II plc  6.000%  9/30/33 GBP         1,357       2,651
  Aspire Defence Finance plc  4.674%  3/31/40 GBP         2,496       4,367
  Aspire Defence Finance plc  4.674%  3/31/40 GBP         2,687       4,720
  Aster Treasury plc  4.500% 12/18/43 GBP         1,841       3,626
  AstraZeneca plc  1.250%  5/12/28 EUR           100         122
  AstraZeneca plc  5.750% 11/13/31 GBP         2,727       5,126
  Aviva plc  0.625% 10/27/23 EUR           681         800
  Aviva plc  1.875% 11/13/27 EUR         2,727       3,453
  Aviva plc  4.000%  10/2/30 CAD         1,694       1,454
  Aviva plc  6.125%   7/5/43 EUR         1,636       2,079
  Aviva plc  3.875%   7/3/44 EUR         1,677       2,110
  Aviva plc  3.375%  12/4/45 EUR         4,091       5,200
  Aviva plc  4.375%  9/12/49 GBP         3,403       5,145
  Aviva plc  5.125%   6/4/50 GBP         1,363       2,164
  Aviva plc  4.000%   6/3/55 GBP         2,574       3,842
  Aviva plc  6.875%  5/20/58 GBP         5,926      12,572
  Babcock International Group plc  1.750%  10/6/22 EUR         1,606       1,878
  Babcock International Group plc  1.875%  10/5/26 GBP         2,727       3,662
  Babcock International Group plc  1.375%  9/13/27 EUR           483         563
  Bank of Scotland plc  4.875% 12/20/24 GBP           954       1,461
  Barclays plc  1.500%   9/3/23 EUR           100         119
  Barclays plc  3.125%  1/17/24 GBP         4,704       6,641
  Barclays plc  1.375%  1/24/26 EUR         6,776       8,088
  Barclays plc  3.000%   5/8/26 GBP         7,499      10,724
  Barclays plc  3.250%  2/12/27 GBP           528         763
  Barclays plc  2.166%  6/23/27 CAD         2,000       1,571
  Barclays plc  2.000%   2/7/28 EUR         7,023       8,276
  Barclays plc  0.577%   8/9/29 EUR        10,000      11,260
  Barclays plc  3.750% 11/22/30 GBP         6,137       8,873
  Barclays plc  1.125%  3/22/31 EUR         4,500       5,171
  Barclays plc  1.106%  5/12/32 EUR        10,000      11,424
  Barclays plc  3.250%  1/17/33 GBP           500         740
  BAT Capital Corp.  2.125%  8/15/25 GBP           886       1,224
  BAT International Finance plc  2.375%  1/19/23 EUR           100         119
  BAT International Finance plc  0.875% 10/13/23 EUR         5,874       6,881
  BAT International Finance plc  2.750%  3/25/25 EUR         4,091       5,096
  BAT International Finance plc  1.250%  3/13/27 EUR         5,352       6,278
  BAT International Finance plc  2.250%  1/16/30 EUR        12,273      14,782
  BAT International Finance plc  6.000% 11/24/34 GBP         2,966       5,095
  BAT International Finance plc  5.750%   7/5/40 GBP           400         690
  BAT International Finance plc  2.250%   9/9/52 GBP         4,773       4,756
  BAT Netherlands Finance BV  2.375%  10/7/24 EUR         6,818       8,336
  BAT Netherlands Finance BV  3.125%   4/7/28 EUR         4,818       6,202
  Bazalgette Finance plc  2.375% 11/29/27 GBP           818       1,170
  Beyond Housing Ltd.  2.125%  5/17/51 GBP         4,000       5,638
  BG Energy Capital plc  1.250% 11/21/22 EUR         4,364       5,109
  BG Energy Capital plc  5.125%  12/1/25 GBP         4,096       6,431
  BG Energy Capital plc  2.250% 11/21/29 EUR         7,098       9,182
  BP Capital Markets BV  0.933%  12/4/40 EUR         4,773       5,089
  BP Capital Markets plc  1.177%  8/12/23 GBP         2,114       2,898
  BP Capital Markets plc  1.876%   4/7/24 EUR         6,303       7,616
  BP Capital Markets plc  0.900%   7/3/24 EUR        16,023      18,980
61


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  BP Capital Markets plc  0.830%  9/19/24 EUR         5,455       6,445
  BP Capital Markets plc  2.030%  2/14/25 GBP           886       1,239
  BP Capital Markets plc  1.953%   3/3/25 EUR         4,909       6,016
  BP Capital Markets plc  3.470%  5/15/25 CAD         1,739       1,479
  BP Capital Markets plc  1.077%  6/26/25 EUR         3,614       4,308
  BP Capital Markets plc  2.972%  2/27/26 EUR         3,545       4,591
  BP Capital Markets plc  2.274%   7/3/26 GBP         5,685       8,073
  BP Capital Markets plc  2.213%  9/25/26 EUR         8,863      11,194
  BP Capital Markets plc  1.573%  2/16/27 EUR        11,305      13,841
  BP Capital Markets plc  0.831%  11/8/27 EUR        10,227      12,050
  BP Capital Markets plc  2.822%   4/7/32 EUR         6,818       9,295
  BP Capital Markets plc  3.625% 12/31/99 EUR        11,818      14,719
  BP Capital Markets plc  4.250% 12/31/99 GBP         6,818       9,777
  BPHA Finance plc  4.816%  4/11/44 GBP           886       1,779
  British Land Co. plc  2.375%  9/14/29 GBP         1,227       1,704
  British Telecommunications plc  1.125%  3/10/23 EUR         4,500       5,285
  British Telecommunications plc  0.875%  9/26/23 EUR         2,727       3,197
  British Telecommunications plc  1.750%  3/10/26 EUR         2,222       2,679
  British Telecommunications plc  1.500%  6/23/27 EUR         4,955       5,890
  British Telecommunications plc  2.125%  9/26/28 EUR           100         123
  British Telecommunications plc  5.750%  12/7/28 GBP         2,747       4,556
  British Telecommunications plc  3.125% 11/21/31 GBP           400         562
  British Telecommunications plc  6.375%  6/23/37 GBP         2,691       5,115
1 Broadgate Financing plc  4.999%  10/5/33 GBP         4,430       6,908
  Bromford Housing Group Ltd.  3.125%   5/3/48 GBP         1,296       2,195
  BUPA Finance plc  2.000%   4/5/24 GBP         8,693      12,103
  BUPA Finance plc  5.000%  12/8/26 GBP         3,478       5,439
  Burberry Group plc  1.125%  9/21/25 GBP         3,409       4,583
  Cadent Finance plc  0.625%  9/22/24 EUR        17,122      20,062
  Cadent Finance plc  2.125%  9/22/28 GBP         7,437      10,272
  Cadent Finance plc  0.625%  3/19/30 EUR         8,429       9,599
  Cadent Finance plc  0.750%  3/11/32 EUR         3,409       3,838
  Cadent Finance plc  2.250% 10/10/35 GBP         5,455       7,304
  Cadent Finance plc  2.625%  9/22/38 GBP         2,250       3,146
  Cadent Finance plc  3.125%  3/21/40 GBP         1,893       2,820
  Cadent Finance plc  2.750%  9/22/46 GBP         1,466       2,078
3 Canary Wharf Group Investment Holdings plc  2.625%  4/23/25 GBP         5,590       7,707
3 Canary Wharf Group Investment Holdings plc  1.750%   4/7/26 EUR         5,929       6,932
  Canary Wharf Group Investment Holdings plc  1.750%   4/7/26 EUR         1,200       1,403
3 Canary Wharf Group Investment Holdings plc  3.375%  4/23/28 GBP         5,251       7,258
  Cardiff University  3.000%  12/7/55 GBP         1,363       2,377
  CCEP Finance Ireland DAC  0.500%   9/6/29 EUR         8,000       9,128
  CCEP Finance Ireland DAC  0.875%   5/6/33 EUR         5,000       5,673
  CCEP Finance Ireland DAC  1.500%   5/6/41 EUR         1,000       1,175
  Centrica plc  4.375%  3/13/29 GBP         4,568       7,216
  Centrica plc  7.000%  9/19/33 GBP         2,045       4,113
  Centrica plc  4.250%  9/12/44 GBP         5,571       9,676
  Channel Link Enterprises Finance plc  3.043%  6/30/50 GBP         4,227       5,770
  Circle Anglia Social Housing plc  7.250% 11/12/38 GBP         3,306       7,938
  Citizen Treasury plc  3.250% 10/20/48 GBP         1,091       1,858
  CK Hutchison Europe Finance 18 Ltd.  1.250%  4/13/25 EUR        11,113      13,247
  CK Hutchison Finance 16 II Ltd.  0.875%  10/3/24 EUR         7,772       9,151
  CK Hutchison Finance 16 Ltd.  1.250%   4/6/23 EUR        11,591      13,632
  CK Hutchison Finance 16 Ltd.  2.000%   4/6/28 EUR           100         125
  CK Hutchison Group Telecom Finance SA  0.375% 10/17/23 EUR           100         116
62


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  CK Hutchison Group Telecom Finance SA  2.000% 10/17/27 GBP         3,409       4,666
  CK Hutchison Group Telecom Finance SA  1.125% 10/17/28 EUR           200         236
  CK Hutchison Group Telecom Finance SA  1.500% 10/17/31 EUR        12,273      14,529
  CK Hutchison Group Telecom Finance SA  2.625% 10/17/34 GBP         2,000       2,777
  Clarion Funding plc  2.625%  1/18/29 GBP         1,059       1,542
  Clarion Funding plc  3.125%  4/19/48 GBP         8,255      13,809
  Clydesdale Bank plc  4.625%   6/8/26 GBP         8,863      13,994
  CNH Industrial Finance Europe SA  2.875%  5/17/23 EUR         4,773       5,762
  CNH Industrial Finance Europe SA  1.875%  1/19/26 EUR        10,432      12,721
  CNH Industrial Finance Europe SA  1.625%   7/3/29 EUR         3,500       4,245
  Coca-Cola Europacific Partners plc  1.125%  5/26/24 EUR         3,954       4,702
  Coca-Cola Europacific Partners plc  2.375%   5/7/25 EUR         2,045       2,544
  Coca-Cola Europacific Partners plc  1.750%  3/27/26 EUR         8,181      10,065
  Coca-Cola Europacific Partners plc  1.750%  5/26/28 EUR         3,545       4,408
  Coca-Cola Europacific Partners plc  0.200%  12/2/28 EUR         8,470       9,499
  Coca-Cola Europacific Partners plc  0.700%  9/12/31 EUR         5,795       6,613
  Compass Group Finance Netherlands BV  0.625%   7/3/24 EUR         1,159       1,361
  Compass Group plc  2.000%   9/5/25 GBP           400         562
  Compass Group plc  2.000%   7/3/29 GBP         1,091       1,538
1 Connect Plus M25 Issuer plc  2.607%  3/31/39 GBP         1,831       2,706
  Coventry Building Society  0.500%  1/12/24 EUR           614         720
  Coventry Building Society  2.000% 12/20/30 GBP         8,000      10,857
  CPUK Finance Ltd.  3.588%  2/28/42 GBP         2,045       2,998
  CPUK Finance Ltd.  7.239%  2/28/42 GBP         1,841       2,845
  CPUK Finance Ltd.  3.690%  2/28/47 GBP           100         150
  Crh Finance UK plc  4.125%  12/2/29 GBP         3,886       6,202
1,7 CTRL Section 1 Finance plc  5.234%   5/2/35 GBP           652       1,169
  Dali Capital plc  4.799% 12/21/37 GBP           550       1,013
  Derby Healthcare plc  5.564%  6/30/41 GBP           960       1,796
  Diageo Finance plc  0.500%  6/19/24 EUR           582         682
  Diageo Finance plc  1.750%  9/23/24 EUR           200         242
  Diageo Finance plc  2.500%  3/27/32 EUR        10,227      13,880
  Diageo Finance plc  1.250%  3/28/33 GBP         4,773       6,177
  DS Smith plc  1.375%  7/26/24 EUR           400         476
  DWR Cymru Financing UK plc  6.015%  3/31/28 GBP           500         870
  DWR Cymru Financing UK plc  2.375%  3/31/34 GBP         1,440       1,992
  DWR Cymru Financing UK plc  2.500%  3/31/36 GBP           483         717
  Eastern Power Networks plc  5.750%   3/8/24 GBP         2,045       3,087
  Eastern Power Networks plc  6.250% 11/12/36 GBP           200         424
  easyJet FinCo BV  1.875%   3/3/28 EUR        12,706      14,887
  easyJet plc  0.875%  6/11/25 EUR         4,776       5,541
  Electricity North West Ltd.  8.875%  3/25/26 GBP         1,363       2,446
  EMH Treasury plc  4.500%  1/29/44 GBP           678       1,315
1 Eversholt Funding plc  6.697%  2/22/35 GBP         1,183       2,061
1 Eversholt Funding plc  3.529%   8/7/42 GBP         2,318       3,574
  Experian Finance plc  1.375%  6/25/26 EUR           400         484
  Experian Finance plc  3.250%   4/7/32 GBP         3,818       5,803
  Fidelity International Ltd.  7.125%  2/13/24 GBP           886       1,364
  Fidelity International Ltd.  2.500%  11/4/26 EUR         1,867       2,357
  Firstgroup plc  6.875%  9/18/24 GBP         1,814       2,826
  Futures Treasury plc  3.375%   2/8/44 GBP           614       1,046
  Gatwick Funding Ltd.  5.250%  1/23/26 GBP           681       1,007
  Gatwick Funding Ltd.  6.125%   3/2/28 GBP        12,239      19,579
  Gatwick Funding Ltd.  5.750%  1/23/39 GBP         4,658       8,558
  Gatwick Funding Ltd.  3.125%  9/28/41 GBP         2,932       4,137
63


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Gatwick Funding Ltd.  3.250%  2/26/48 GBP           400         581
  Gatwick Funding Ltd.  2.625%  10/7/48 GBP           818       1,068
  Genfinance II plc  6.064% 12/21/39 GBP         4,022       8,724
  GlaxoSmithKline Capital plc  1.375%  12/2/24 EUR           350         422
  GlaxoSmithKline Capital plc  4.000%  6/16/25 EUR           681         900
  GlaxoSmithKline Capital plc  1.250%  5/21/26 EUR        10,227      12,407
  GlaxoSmithKline Capital plc  1.000%  9/12/26 EUR           500         602
  GlaxoSmithKline Capital plc  3.375% 12/20/27 GBP         2,659       4,032
  GlaxoSmithKline Capital plc  1.250% 10/12/28 GBP         5,000       6,705
  GlaxoSmithKline Capital plc  1.750%  5/21/30 EUR        12,174      15,394
  GlaxoSmithKline Capital plc  5.250% 12/19/33 GBP         5,004       9,342
  GlaxoSmithKline Capital plc  1.625%  5/12/35 GBP        11,818      15,462
  GlaxoSmithKline Capital plc  6.375%   3/9/39 GBP           781       1,751
  GlaxoSmithKline Capital plc  5.250%  4/10/42 GBP         2,969       6,262
  GlaxoSmithKline Capital plc  4.250% 12/18/45 GBP           483         943
  Global Switch Holdings Ltd.  4.375% 12/13/22 GBP           681         964
  Global Switch Holdings Ltd.  1.500%  1/31/24 EUR         1,227       1,456
  Global Switch Holdings Ltd.  2.250%  5/31/27 EUR           500         625
  Great Places Housing Group Ltd.  4.750% 10/22/42 GBP         2,045       4,045
1 Great Rolling Stock Co. plc  6.875%  7/27/35 GBP           575       1,005
1 Greater Gabbard OFTO plc  4.137% 11/29/32 GBP         1,053       1,634
  Greene King Finance plc  5.318%  9/15/31 GBP           834       1,295
1 Greene King Finance plc  4.064%  3/15/35 GBP         1,343       1,983
  Guinness Partnership Ltd.  4.000% 10/24/44 GBP           667       1,257
  Guinness Partnership Ltd.  2.000%  4/22/55 GBP         5,000       7,086
1 Gwynt y Mor OFTO plc  2.778%  2/17/34 GBP         1,686       2,377
  Hammerson Ireland Finance DAC  1.750%   6/3/27 EUR         3,000       3,459
  Hammerson plc  6.000%  2/23/26 GBP         2,727       4,200
  Hammerson plc  7.250%  4/21/28 GBP         2,727       4,601
  Hastings Group Finance plc  3.000%  5/24/25 GBP         7,499      10,766
  Heathrow Funding Ltd.  5.225%  2/15/23 GBP         1,500       2,152
  Heathrow Funding Ltd.  1.500% 10/12/27 EUR         8,470      10,147
  Heathrow Funding Ltd.  6.750%  12/3/28 GBP         5,000       8,373
  Heathrow Funding Ltd.  2.694% 10/13/29 CAD         5,800       4,663
  Heathrow Funding Ltd.  1.500%  2/11/30 EUR         4,841       5,729
  Heathrow Funding Ltd.  3.400%   3/8/30 CAD         4,773       3,968
  Heathrow Funding Ltd.  2.750% 10/13/31 GBP         3,409       4,788
  Heathrow Funding Ltd.  6.450% 12/10/31 GBP         2,079       3,837
  Heathrow Funding Ltd.  1.875%  7/12/32 EUR         2,863       3,460
  Heathrow Funding Ltd.  3.782%   9/4/32 CAD         1,841       1,563
  Heathrow Funding Ltd.  1.875%  3/14/36 EUR         5,969       7,103
  Heathrow Funding Ltd.  5.875%  5/13/43 GBP         8,659      17,430
  Heathrow Funding Ltd.  4.625% 10/31/46 GBP         1,705       3,131
  Heathrow Funding Ltd.  2.750%   8/9/51 GBP           648         902
  High Speed Rail Finance 1 plc  4.375%  11/1/38 GBP         4,568       7,751
  Hiscox Ltd.  2.000% 12/14/22 GBP           564         778
  Home Group Ltd.  3.125%  3/27/43 GBP         1,363       2,163
  Housing & Care 21  3.288%  11/8/49 GBP           920       1,514
  HSBC Bank Capital Funding Sterling 1 LP  5.844% 11/29/49 GBP           250         472
  HSBC Bank plc  6.500%   7/7/23 GBP         3,409       5,047
  HSBC Bank plc  5.375%  11/4/30 GBP           681       1,054
  HSBC Bank plc  5.375%  8/22/33 GBP         3,409       6,040
  HSBC Bank plc  6.250%  1/30/41 GBP         2,066       4,291
  HSBC Bank plc  4.750%  3/24/46 GBP           100         185
  HSBC Holdings plc  3.196%  12/5/23 CAD         6,675       5,577
64


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  HSBC Holdings plc  0.875%   9/6/24 EUR        12,000      14,174
  HSBC Holdings plc  1.500%  12/4/24 EUR         2,727       3,251
  HSBC Holdings plc  3.000%  6/30/25 EUR        18,068      22,745
  HSBC Holdings plc  0.309% 11/13/26 EUR        13,470      15,484
  HSBC Holdings plc  2.256% 11/13/26 GBP         4,431       6,144
  HSBC Holdings plc  2.500%  3/15/27 EUR         5,000       6,367
  HSBC Holdings plc  1.750%  7/24/27 GBP         5,929       8,001
  HSBC Holdings plc  3.000%  7/22/28 GBP        23,839      34,040
  HSBC Holdings plc  2.625%  8/16/28 GBP         2,131       2,996
  HSBC Holdings plc  6.750%  9/11/28 GBP         1,850       3,194
  HSBC Holdings plc  3.000%  5/29/30 GBP         2,964       4,243
  HSBC Holdings plc  0.770% 11/13/31 EUR        13,637      15,470
  HSBC Holdings plc  7.000%   4/7/38 GBP         6,850      13,938
  HSBC Holdings plc  6.000%  3/29/40 GBP         5,216       9,910
  Hyde Housing Assn. Ltd.  5.125%  7/23/40 GBP           275         551
  Hyde Housing Assn. Ltd.  1.750%  8/18/55 GBP         5,455       7,035
  Imperial Brands Finance Netherlands BV  1.750%  3/18/33 EUR         6,776       7,670
  Imperial Brands Finance plc  1.375%  1/27/25 EUR           681         809
  Imperial Brands Finance plc  3.375%  2/26/26 EUR           483         620
  Imperial Brands Finance plc  2.125%  2/12/27 EUR        10,568      12,875
  Imperial Brands Finance plc  4.875%   6/7/32 GBP         5,182       8,141
  Incommunities Treasury plc  3.250%  3/21/49 GBP         2,114       3,633
  Informa plc  1.500%   7/5/23 EUR           886       1,048
  Informa plc  3.125%   7/5/26 GBP           847       1,210
  Just Group plc  9.000% 10/26/26 GBP           500         890
  Juturna European Loan Conduit No. 16 plc  5.064%  8/10/33 GBP         4,741       7,840
  Karbon Homes Ltd.  3.375% 11/15/47 GBP         5,113       9,039
  Kennedy Wilson Europe Real Estate Ltd.  3.250% 11/12/25 EUR         1,000       1,229
  Land Securities Capital Markets plc  1.974%   2/8/26 GBP           681         944
  Land Securities Capital Markets plc  2.375%  3/29/29 GBP           644         911
  Land Securities Capital Markets plc  2.625%  9/22/39 GBP         2,863       4,228
  Land Securities Capital Markets plc  2.750%  9/22/59 GBP           886       1,440
  Leeds Building Society  0.500%   7/3/24 EUR           500         586
  Leeds Building Society  1.500%  3/16/27 GBP         3,000       4,046
  Leeds Building Society  3.750%  4/25/29 GBP           500         724
  Legal & General Finance plc  5.875% 12/11/31 GBP         4,773       8,964
  Legal & General Group plc  5.375% 10/27/45 GBP         2,318       3,558
  Legal & General Group plc  5.125% 11/14/48 GBP           681       1,070
  Legal & General Group plc  5.500%  6/27/64 GBP         2,239       3,916
  Liberty Living Finance plc  2.625% 11/28/24 GBP         1,363       1,927
  Libra Longhurst Group Treasury plc  5.125%   8/2/38 GBP         1,225       2,382
  Linde Finance BV  5.875%  4/24/23 GBP         1,484       2,176
  Linde Finance BV  1.000%  4/20/28 EUR         5,500       6,663
  Linde Finance BV  0.550%  5/19/32 EUR        11,000      12,656
  Liverpool Victoria Friendly Society Ltd.  6.500%  5/22/43 GBP         1,875       2,707
  Lloyds Bank plc  0.625%  9/14/22 EUR         5,987       6,984
  Lloyds Bank plc  4.875%  1/13/23 EUR         5,591       6,864
  Lloyds Bank plc  0.250%  3/25/24 EUR         5,455       6,361
  Lloyds Bank plc  7.500%  4/15/24 GBP         6,934      10,912
  Lloyds Bank plc  5.125%   3/7/25 GBP        10,363      16,056
  Lloyds Bank plc  0.625%  3/26/25 EUR           500         590
  Lloyds Bank plc  7.625%  4/22/25 GBP         5,584       9,183
  Lloyds Bank plc  0.125%  6/18/26 EUR         6,818       7,890
  Lloyds Bank plc  4.875%  3/30/27 GBP         2,100       3,422
  Lloyds Bank plc  6.000%   2/8/29 GBP         7,056      12,793
65


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Lloyds Bank plc  0.125%  9/23/29 EUR        27,273      31,160
  Lloyds Banking Group plc  3.650%  3/20/23 AUD         1,220         948
  Lloyds Banking Group plc  0.650%  5/30/23 JPY       200,000       1,764
  Lloyds Banking Group plc  0.482% 12/14/23 JPY     1,200,000      10,557
  Lloyds Banking Group plc  0.625%  1/15/24 EUR         1,909       2,225
  Lloyds Banking Group plc  2.250% 10/16/24 GBP         1,363       1,903
  Lloyds Banking Group plc  3.500%   2/3/25 CAD         1,772       1,495
  Lloyds Banking Group plc  4.000%   3/7/25 AUD         8,110       6,434
  Lloyds Banking Group plc  0.824%  5/30/25 JPY     1,100,000       9,656
  Lloyds Banking Group plc  0.500% 11/12/25 EUR         7,159       8,343
  Lloyds Banking Group plc  4.250% 11/22/27 AUD         3,380       2,721
  Lloyds Banking Group plc  4.500%  3/18/30 EUR         2,387       3,098
  Lloyds Banking Group plc  2.707%  12/3/35 GBP         2,045       2,790
  Logicor 2019-1 UK plc  1.875% 11/17/31 GBP         3,000       4,186
  London & Quadrant Housing Trust  2.625%   5/5/26 GBP         1,363       1,963
  London & Quadrant Housing Trust  2.625%  2/28/28 GBP         1,705       2,473
  London & Quadrant Housing Trust  4.625%  12/5/33 GBP           500         882
  London & Quadrant Housing Trust  5.500%  1/27/40 GBP         1,636       3,378
  London & Quadrant Housing Trust  3.750% 10/27/49 GBP         2,591       4,757
  London & Quadrant Housing Trust  3.125%  2/28/53 GBP         1,159       1,962
  London & Quadrant Housing Trust  2.750%  7/20/57 GBP         1,363       2,161
  London Power Networks plc  5.125%  3/31/23 GBP         2,045       2,956
  London Power Networks plc  6.125%   6/7/27 GBP           483         820
  London Stock Exchange Group plc  1.750%  12/6/27 EUR         9,068      11,310
1 Longstone Finance plc  4.791%  4/19/36 GBP           610         944
  Lseg Netherlands BV  0.750%   4/6/33 EUR         8,000       9,118
  M&G plc  5.625% 10/20/51 GBP         1,000       1,598
  M&G plc  5.560%  7/20/55 GBP         6,682      10,748
  M&G plc  6.340% 12/19/63 GBP         2,250       3,989
  Manchester Airport Group Funding plc  4.125%   4/2/24 GBP         1,363       1,979
  Manchester Airport Group Funding plc  4.750%  3/31/34 GBP         1,363       2,277
  Manchester Airport Group Funding plc  2.875%  9/30/44 GBP         2,727       3,770
  Martlet Homes Ltd.  3.000%   5/9/52 GBP         2,318       3,862
1 Meadowhall Finance plc  4.986%  7/12/37 GBP         1,900       2,955
1,8 Merseylink Issuer plc  3.842%  3/31/43 GBP           300         542
1 Metropolitan Funding plc  4.125%   4/5/48 GBP         1,363       2,453
  Morhomes plc  3.400%  2/19/40 GBP         1,227       1,890
  Motability Operations Group plc  1.625%   6/9/23 EUR           500         595
  Motability Operations Group plc  0.375%   1/3/26 EUR         5,329       6,204
  Motability Operations Group plc  4.375%   2/8/27 GBP         5,864       9,219
  Motability Operations Group plc  0.125%  7/20/28 EUR        11,859      13,417
  Motability Operations Group plc  1.750%   7/3/29 GBP         6,656       9,197
  Motability Operations Group plc  5.625% 11/29/30 GBP         1,363       2,473
  Motability Operations Group plc  2.375%  3/14/32 GBP           644         923
  Motability Operations Group plc  3.625%  3/10/36 GBP           500         825
  Motability Operations Group plc  2.375%   7/3/39 GBP           100         144
  Myriad Capital plc  4.750% 12/20/43 GBP           500         972
  National Express Group plc  2.500% 11/11/23 GBP         3,409       4,766
  National Grid Electricity Transmission plc  1.375%  9/16/26 GBP         2,863       3,879
  National Grid Electricity Transmission plc  2.301%  6/22/29 CAD         3,400       2,682
  National Grid Electricity Transmission plc  2.000%  9/16/38 GBP         3,954       5,294
  National Grid plc  0.553%  9/18/29 EUR         3,409       3,889
  National Westminster Bank plc  5.125%  1/13/24 GBP           500         745
  National Westminster Bank plc  0.500%  5/15/24 EUR         6,818       7,994
  Nationwide Building Society  1.250%   3/3/25 EUR           500         599
66


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Nationwide Building Society  5.625%  1/28/26 GBP         1,023       1,662
  Nationwide Building Society  1.500%   3/8/26 EUR        10,159      12,218
  Nationwide Building Society  3.000%   5/6/26 GBP        13,847      20,298
  Nationwide Building Society  0.625%  3/25/27 EUR         8,038       9,538
  Nationwide Building Society  3.250%  1/20/28 GBP           895       1,354
  Nationwide Building Society  0.250%  9/14/28 EUR        10,000      11,325
  Nationwide Building Society  2.250%  6/25/29 EUR         3,409       4,532
  Nationwide Building Society  2.000%  7/25/29 EUR        17,205      20,702
  Nationwide Building Society  1.375%  6/29/32 EUR        10,909      13,905
  Natwest Group plc  2.500%  3/22/23 EUR        10,705      12,815
  Natwest Group plc  1.750%   3/2/26 EUR        25,909      31,221
  NatWest Markets plc  1.000%  5/28/24 EUR         6,818       8,082
7 Network Rail Infrastructure Finance plc  4.750%  1/22/24 GBP         4,773       7,076
7 Network Rail Infrastructure Finance plc  4.375%  12/9/30 GBP         6,068      10,525
7 Network Rail Infrastructure Finance plc  4.750% 11/29/35 GBP         2,863       5,585
  NewRiver REIT plc  3.500%   3/7/28 GBP         1,227       1,710
  Next Group plc  3.625%  5/18/28 GBP         4,773       7,073
  NIE Finance plc  2.500% 10/27/25 GBP         3,533       5,015
  Northern Gas Networks Finance plc  4.875%  6/30/27 GBP           300         482
  Northern Gas Networks Finance plc  4.875% 11/15/35 GBP         2,591       4,585
  Northern Powergrid Holdings Co.  7.250% 12/15/22 GBP           900       1,316
  Northern Powergrid Yorkshire plc  5.125%   5/4/35 GBP         1,045       1,904
  Northern Powergrid Yorkshire plc  2.250%  10/9/59 GBP         1,091       1,591
  Northumbrian Water Finance plc  1.625% 10/11/26 GBP         4,704       6,475
  Northumbrian Water Finance plc  2.375%  10/5/27 GBP           400         568
  Northumbrian Water Finance plc  5.625%  4/29/33 GBP         1,769       3,312
  Northumbrian Water Finance plc  5.125%  1/23/42 GBP           604       1,232
  Notting Hill Genesis  3.750% 12/20/32 GBP         3,681       5,897
  Notting Hill Genesis  2.000%   6/3/36 GBP         5,122       6,961
  Notting Hill Genesis  5.250%   7/7/42 GBP         1,023       2,118
  Notting Hill Genesis  3.250% 10/12/48 GBP           250         419
  Notting Hill Genesis  4.375%  2/20/54 GBP         2,309       4,838
1 Octagon Healthcare Funding plc  5.333%  6/30/36 GBP           700       1,190
  Orbit Capital plc  3.500%  3/24/45 GBP         2,705       4,606
  Orbit Capital plc  3.375%  6/14/48 GBP           642       1,093
  Paradigm Homes Charitable Housing Assn. Ltd.  2.250%  5/20/51 GBP         3,700       5,324
1 Paragon Treasury plc  3.625%  1/21/47 GBP         1,363       2,345
  Peabody Capital No. 2 plc  4.625% 12/12/53 GBP           150         325
  Peabody Capital plc  5.250%  3/17/43 GBP         3,852       8,063
  Pearson Funding plc  1.375%   5/6/25 EUR           483         575
1 Penarian Housing Finance plc  3.212%   6/7/52 GBP         1,023       1,640
  Pension Insurance Corp. plc  8.000% 11/23/26 GBP         1,705       2,969
  Pension Insurance Corp. plc  5.625%  9/20/30 GBP         5,106       8,337
  Phoenix Group Holdings plc  4.375%  1/24/29 EUR        10,023      13,500
  Phoenix Group Holdings plc  5.867%  6/13/29 GBP         4,000       6,553
  Phoenix Group Holdings plc  5.625%  4/28/31 GBP         1,841       2,985
  Places For People Treasury plc  2.875%  8/17/26 GBP         4,023       5,861
  Platform HG Financing plc  1.625%  8/10/55 GBP         3,409       4,307
  Porterbrook Rail Finance Ltd.  7.125% 10/20/26 GBP         2,045       3,537
  Principality Building Society  2.375% 11/23/23 GBP           681         948
  Prs Finance plc  1.750% 11/24/26 GBP        13,970      19,648
  Prs Finance plc  2.000%  1/23/29 GBP         4,636       6,652
  Prudential plc  5.875%  5/11/29 GBP           758       1,356
  Prudential plc  6.125% 12/19/31 GBP         6,137      11,188
67


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Quadgas Finance plc  3.375%  9/17/29 GBP         3,205       4,638
  RAC Bond Co. plc  4.565%   5/6/46 GBP           400         567
  RAC Bond Co. plc  4.870%   5/6/46 GBP         2,045       3,062
3 Reckitt Benckiser Treasury Services Nederland BV  0.375%  5/19/26 EUR         3,409       3,967
  Reckitt Benckiser Treasury Services Nederland BV  0.750%  5/19/30 EUR         6,776       7,942
3 Reckitt Benckiser Treasury Services Nederland BV  0.750%  5/19/30 EUR         3,409       3,996
3 Reckitt Benckiser Treasury Services plc  1.750%  5/19/32 GBP         2,932       4,015
  RELX Capital Inc.  1.300%  5/12/25 EUR         1,363       1,637
  RELX Finance BV  0.000%  3/18/24 EUR         1,783       2,065
  RELX Finance BV  0.500%  3/10/28 EUR        10,227      11,838
  RELX Finance BV  0.875%  3/10/32 EUR         4,235       4,901
  Rentokil Initial plc  0.950% 11/22/24 EUR         3,478       4,112
  Rio Tinto Finance plc  2.875% 12/11/24 EUR           300         379
  RL Finance Bonds No. 2 plc  6.125% 11/30/43 GBP           500         741
  RL Finance Bonds No. 3 plc  6.125% 11/13/28 GBP         2,182       3,617
  RL Finance Bonds No. 4 plc  4.875%  10/7/49 GBP         7,295      11,370
1 RMPA Services plc  5.337%  9/30/38 GBP         1,732       3,058
  Rothesay Life plc  3.375%  7/12/26 GBP         8,091      11,652
  Royal Bank of Scotland Group plc  2.875%  9/19/26 GBP         1,500       2,136
  Royal Bank of Scotland Group plc  3.125%  3/28/27 GBP         4,091       5,893
  Royal Mail plc  1.250%  10/8/26 EUR         3,409       4,088
  RSL Finance No. 1 plc  6.625%  3/31/38 GBP           818       1,541
  Sage Group plc  1.625%  2/25/31 GBP         4,235       5,567
  Sanctuary Capital plc  6.697%  3/23/39 GBP         1,432       3,328
  Sanctuary Capital plc  5.000%  4/26/47 GBP         2,803       6,164
  Sanctuary Capital plc  2.375%  4/14/50 GBP           681       1,015
  Santander UK Group Holdings plc  1.125%   9/8/23 EUR         7,571       8,944
  Santander UK Group Holdings plc  0.391%  2/28/25 EUR         4,431       5,146
  Santander UK Group Holdings plc  3.625%  1/14/26 GBP        11,128      16,314
  Santander UK Group Holdings plc  2.920%   5/8/26 GBP         9,818      13,939
  Santander UK plc  0.100%  5/12/24 EUR        13,637      15,839
  Santander UK plc  1.250%  9/18/24 EUR         4,568       5,475
  Santander UK plc  0.500%  1/10/25 EUR         5,522       6,481
  Santander UK plc  5.750%   3/2/26 GBP         3,992       6,525
  Santander UK plc  5.250%  2/16/29 GBP         4,253       7,422
  Santander UK plc  3.875% 10/15/29 GBP         6,273      10,032
1 Saxon Weald Capital plc  5.375%   6/6/42 GBP           641       1,202
  Scotland Gas Networks plc  4.875% 12/21/34 GBP           681       1,185
  Scottish Hydro Electric Transmission plc  2.250%  9/27/35 GBP           500         687
  Scottish Widows Ltd.  5.500%  6/16/23 GBP         1,705       2,474
  Segro plc  2.375% 10/11/29 GBP           818       1,180
  Segro plc  2.875% 10/11/37 GBP           300         464
  Severn Trent Utilities Finance plc  3.625%  1/16/26 GBP         2,500       3,730
  Severn Trent Utilities Finance plc  2.750%  12/5/31 GBP           886       1,306
  Severn Trent Utilities Finance plc  2.000%   6/2/40 GBP           818       1,103
  Severn Trent Utilities Finance plc  4.875%  1/24/42 GBP         3,096       6,140
  Sky Ltd.  1.875% 11/24/23 EUR         3,749       4,514
  Sky Ltd.  2.250% 11/17/25 EUR           500         625
  Sky Ltd.  2.500%  9/15/26 EUR        27,676      35,484
  Sky Ltd.  6.000%  5/21/27 GBP           200         337
  Sky Ltd.  4.000% 11/26/29 GBP         3,273       5,205
  Society of Lloyd's  4.875%   2/7/47 GBP         4,773       7,311
  South Eastern Power Networks plc  5.500%   6/5/26 GBP           483         778
68


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  South Eastern Power Networks plc  5.625%  9/30/30 GBP         1,739       3,103
  South Eastern Power Networks plc  6.375% 11/12/31 GBP         1,943       3,730
  Southern Electric Power Distribution plc  5.500%   6/7/32 GBP         1,504       2,701
  Southern Electric Power Distribution plc  4.625%  2/20/37 GBP         1,136       2,015
  Southern Gas Networks plc  2.500%   2/3/25 GBP         3,119       4,420
  Southern Gas Networks plc  6.375%  5/15/40 GBP           420         905
  Southern Housing Group Ltd.  3.500% 10/19/47 GBP         1,023       1,684
  Southern Water Services Finance Ltd.  6.640%  3/31/26 GBP        10,164      16,823
  Southern Water Services Finance Ltd.  6.192%  3/31/29 GBP         2,045       3,645
  Southern Water Services Finance Ltd.  4.500%  3/31/52 GBP           200         434
  Southern Water Services Finance Ltd.  5.125%  9/30/56 GBP           100         249
  Sovereign Housing Capital plc  4.768%   6/1/43 GBP           289         590
  Sovereign Housing Capital plc  2.375%  11/4/48 GBP         2,044       3,059
  SP Distribution plc  5.875%  7/17/26 GBP           886       1,460
  SP Manweb plc  4.875%  9/20/27 GBP           300         486
  SSE plc  1.250%  4/16/25 EUR         8,796      10,495
  SSE plc  0.875%   9/6/25 EUR         1,091       1,289
  SSE plc  8.375% 11/20/28 GBP         2,066       3,980
  SSE plc  6.250%  8/27/38 GBP         1,091       2,267
  Stagecoach Group plc  4.000%  9/29/25 GBP           300         439
  Standard Chartered plc  1.625%  10/3/27 EUR           564         685
  Standard Chartered plc  0.850%  1/27/28 EUR         4,091       4,775
  Standard Chartered plc  1.200%  9/23/31 EUR           500         572
  Standard Chartered plc  4.375%  1/18/38 GBP         2,045       3,718
  Student Finance plc  2.666%  9/30/29 GBP         1,023       1,409
  Sunderland SHG Finance plc  6.380%  3/31/42 GBP           267         503
1 Swan Housing Capital plc  3.625%   3/5/48 GBP         1,575       2,376
1 TC Dudgeon Ofto plc  3.158% 11/12/38 GBP         1,034       1,561
1 Telereal Secured Finance plc  4.010% 12/10/33 GBP         3,801       5,676
1 Telereal Securitisation plc  6.165% 12/10/33 GBP           763       1,274
  Tesco Corporate Treasury Services plc  0.875%  5/29/26 EUR         6,886       8,101
1 Tesco Property Finance 1 plc  7.623%  7/13/39 GBP         1,908       3,792
1 Tesco Property Finance 2 plc  6.052% 10/13/39 GBP         2,493       4,439
1 Tesco Property Finance 3 plc  5.744%  4/13/40 GBP         1,334       2,386
1 Tesco Property Finance 4 plc  5.801% 10/13/40 GBP         3,348       5,999
1 Tesco Property Finance 6 plc  5.411%  7/13/44 GBP         4,439       7,818
  Thames Water Utilities Finance plc  1.875%  1/24/24 GBP         1,023       1,417
  Thames Water Utilities Finance plc  2.875% 12/12/24 CAD           746         615
  Thames Water Utilities Finance plc  4.000%  6/19/25 GBP         5,455       8,144
  Thames Water Utilities Finance plc  3.500%  2/25/28 GBP           886       1,322
  Thames Water Utilities Finance plc  6.750% 11/16/28 GBP         2,450       4,388
  Thames Water Utilities Finance plc  2.625%  1/24/32 GBP         3,248       4,610
  Thames Water Utilities Finance plc  6.500%   2/9/32 GBP         1,000       1,901
  Thames Water Utilities Finance plc  4.375%   7/3/34 GBP         1,905       3,206
  Thames Water Utilities Finance plc  5.125%  9/28/37 GBP           959       1,795
  Thames Water Utilities Finance plc  2.375%  4/22/40 GBP         5,590       7,657
  Thames Water Utilities Finance plc  5.500%  2/11/41 GBP         5,097      10,308
  Thames Water Utilities Finance plc  4.625%   6/4/46 GBP         1,122       2,179
  Thames Water Utilities Finance plc  7.738%   4/9/58 GBP           750       2,341
  THFC Funding No. 2 plc  6.350%   7/8/41 GBP         1,636       3,608
  THFC Funding No. 2 plc  5.200% 10/11/43 GBP         3,682       7,697
  Together Housing Finance plc  4.500% 12/17/42 GBP           430         831
  Unilever Finance Netherlands BV  0.375%  2/14/23 EUR           750         875
  Unilever Finance Netherlands BV  1.000%   6/3/23 EUR           100         118
  Unilever Finance Netherlands BV  0.500%  8/12/23 EUR         6,818       7,990
69


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Unilever Finance Netherlands BV  0.500%   1/6/25 EUR           100         118
  Unilever Finance Netherlands BV  1.250%  3/25/25 EUR        13,637      16,427
  Unilever Finance Netherlands BV  1.125%  2/12/27 EUR         6,886       8,357
  Unilever Finance Netherlands BV  1.375%  7/31/29 EUR         3,614       4,475
  Unilever Finance Netherlands BV  1.750%  3/25/30 EUR         6,818       8,716
  Unilever Finance Netherlands BV  1.375%   9/4/30 EUR           886       1,106
  Unilever plc  1.500%  7/22/26 GBP           200         279
  Unilever plc  1.500%  6/11/39 EUR         3,545       4,527
  UNITE USAF II plc  3.374%  6/30/28 GBP         1,091       1,543
  UNITE USAF II plc  3.921%  6/30/30 GBP         2,656       3,926
  United Utilities Water Finance plc  2.000%  2/14/25 GBP         5,455       7,642
  United Utilities Water Finance plc  2.625%  2/12/31 GBP         5,386       7,870
  United Utilities Water Finance plc  2.000%   7/3/33 GBP         1,363       1,892
  United Utilities Water Finance plc  1.875%   6/3/42 GBP           958       1,288
  United Utilities Water Ltd.  5.625% 12/20/27 GBP         4,643       7,847
  University of Cambridge  3.750% 10/17/52 GBP           614       1,299
  University of Cambridge  2.350%  6/27/78 GBP         1,862       3,616
  University of Liverpool  3.375%  6/25/55 GBP           300         582
  University of Manchester  4.250%   7/4/53 GBP         1,296       2,792
  University of Oxford  2.544%  12/8/17 GBP         4,773       8,769
  University of Southampton  2.250%  4/11/57 GBP           100         150
  Urenco Finance NV  2.375%  12/2/24 EUR         2,727       3,351
  Virgin Money UK plc  3.375%  4/24/26 GBP         8,295      11,854
  Virgin Money UK plc  4.000%   9/3/27 GBP         3,818       5,675
  Virgin Money UK plc  5.125% 12/11/30 GBP         2,541       3,791
  Vodafone Group plc  3.250% 12/13/22 AUD           850         655
  Vodafone Group plc  0.500%  1/30/24 EUR           400         469
  Vodafone Group plc  1.875%  9/11/25 EUR        13,637      16,763
  Vodafone Group plc  1.125% 11/20/25 EUR        10,591      12,678
  Vodafone Group plc  5.625%  12/4/25 GBP           818       1,313
  Vodafone Group plc  2.200%  8/25/26 EUR         2,795       3,520
  Vodafone Group plc  0.900% 11/24/26 EUR         7,671       9,126
  Vodafone Group plc  1.500%  7/24/27 EUR         1,863       2,286
  Vodafone Group plc  4.200% 12/13/27 AUD         6,370       5,117
  Vodafone Group plc  1.625% 11/24/30 EUR         6,510       8,041
  Vodafone Group plc  1.600%  7/29/31 EUR         7,704       9,465
  Vodafone Group plc  5.900% 11/26/32 GBP         2,250       4,245
  Vodafone Group plc  2.875% 11/20/37 EUR         1,909       2,674
  Vodafone Group plc  2.500%  5/24/39 EUR         3,068       4,119
  Vodafone Group plc  3.375%   8/8/49 GBP         1,977       3,114
  Vodafone Group plc  3.000%  8/12/56 GBP         4,414       6,526
  Wales & West Utilities Finance plc  5.750%  3/29/30 GBP         3,409       6,038
  Wales & West Utilities Finance plc  3.000%   8/3/38 GBP         1,023       1,559
  Wellcome Trust Finance plc  4.625%  7/25/36 GBP         2,366       4,580
  Wellcome Trust Ltd.  4.000%   5/9/59 GBP         1,500       3,552
  Wellcome Trust Ltd.  2.517%   2/7/18 GBP         2,932       5,267
  Wessex Water Services Finance plc  5.375%  3/10/28 GBP           644       1,068
  Western Power Distribution East Midlands plc  5.250%  1/17/23 GBP         1,705       2,446
  Western Power Distribution plc  3.500% 10/16/26 GBP         3,404       5,034
  Western Power Distribution South Wales plc  5.750%  3/23/40 GBP         1,500       3,112
  Western Power Distribution South West plc  5.875%  3/25/27 GBP         1,500       2,482
  Western Power Distribution South West plc  5.750%  3/23/40 GBP         1,200       2,477
  Western Power Distribution West Midlands plc  3.875% 10/17/24 GBP         4,636       6,759
  Western Power Distribution West Midlands plc  5.750%  4/16/32 GBP         3,818       6,964
70


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Westfield Stratford City Finance No. 2 plc  1.642%   8/4/31 GBP         1,705       2,332
  Wheatley Group Capital plc  4.375% 11/28/44 GBP         3,068       5,820
  WHG Treasury plc  4.250%  10/6/45 GBP         2,727       5,192
1 Wods Transmission plc  3.446%  8/24/34 GBP           522         788
  WPP Finance 2013  2.875%  9/14/46 GBP         1,500       2,083
  WPP Finance 2016  1.375%  3/20/25 EUR         9,682      11,632
  WPP Finance 2017  3.750%  5/19/32 GBP         1,000       1,541
  WPP Finance Deutschland GmbH  1.625%  3/23/30 EUR         3,642       4,499
  WPP Finance SA  2.250%  9/22/26 EUR           300         381
  WPP Finance SA  2.375%  5/19/27 EUR         6,776       8,646
  Yorkshire Building Society  3.000%  4/18/25 GBP         1,636       2,325
  Yorkshire Building Society  0.625%  9/21/25 EUR         5,514       6,471
  Yorkshire Building Society  3.500%  4/21/26 GBP           750       1,118
  Yorkshire Building Society  0.500%   7/1/28 EUR         4,000       4,583
  Yorkshire Building Society  3.375%  9/13/28 GBP         5,001       7,207
  Yorkshire Power Finance Ltd.  7.250%   8/4/28 GBP           200         364
  Yorkshire Water Finance plc  3.625%   8/1/29 GBP         4,364       6,744
  Yorkshire Water Finance plc  6.375%  8/19/39 GBP         2,303       5,140
  Yorkshire Water Finance plc  2.750%  4/18/41 GBP         6,909      10,414
  Yorkshire Water Finance plc  3.750%  3/22/46 GBP           681         952
  Yorkshire Water Services Finance Ltd.  5.500%  5/28/37 GBP           950       1,902
                   2,957,454
United States (3.2%)                              
  3M Co.  0.950%  5/15/23 EUR         1,363       1,606
  3M Co.  1.500%  11/9/26 EUR           300         370
  3M Co.  1.750%  5/15/30 EUR         1,102       1,400
  Abbott Ireland Financing DAC  0.875%  9/27/23 EUR        15,409      18,185
  Abbott Ireland Financing DAC  1.500%  9/27/26 EUR        12,136      14,855
  Abbott Ireland Financing DAC  0.375% 11/19/27 EUR         6,818       7,885
  AbbVie Inc.  1.500% 11/15/23 EUR           818         975
  AbbVie Inc.  1.375%  5/17/24 EUR         8,181       9,750
  AbbVie Inc.  1.250%   6/1/24 EUR         6,818       8,111
  AbbVie Inc.  0.750% 11/18/27 EUR         3,409       3,991
  AbbVie Inc.  2.625% 11/15/28 EUR         1,363       1,785
  AbbVie Inc.  2.125% 11/17/28 EUR        13,568      17,246
  AbbVie Inc.  2.125%   6/1/29 EUR         5,727       7,307
  AbbVie Inc.  1.250% 11/18/31 EUR         1,636       1,953
  Air Lease Corp.  2.625%  12/5/24 CAD         5,190       4,239
  Air Products and Chemicals Inc.  1.000%  2/12/25 EUR         2,275       2,719
  Air Products and Chemicals Inc.  0.500%   5/5/28 EUR         2,591       3,016
  Air Products and Chemicals Inc.  0.800%   5/5/32 EUR         2,337       2,714
  Altria Group Inc.  1.000%  2/15/23 EUR         1,636       1,913
  Altria Group Inc.  1.700%  6/15/25 EUR         2,114       2,543
  Altria Group Inc.  2.200%  6/15/27 EUR         8,557      10,531
  Altria Group Inc.  3.125%  6/15/31 EUR        13,022      16,845
  American Honda Finance Corp.  1.375% 11/10/22 EUR         3,478       4,091
  American Honda Finance Corp.  0.750%  1/17/24 EUR         4,909       5,775
  American Honda Finance Corp.  1.950% 10/18/24 EUR         6,204       7,571
  American Honda Finance Corp.  0.750% 11/25/26 GBP         4,431       5,822
  American International Group Inc.  5.000%  4/26/23 GBP         2,300       3,319
  American International Group Inc.  1.500%   6/8/23 EUR           500         590
  American International Group Inc.  1.875%  6/21/27 EUR         3,614       4,438
  American Tower Corp.  1.375%   4/4/25 EUR         2,795       3,341
  American Tower Corp.  1.950%  5/22/26 EUR         6,696       8,233
  American Tower Corp.  0.450%  1/15/27 EUR         6,235       7,130
71


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  American Tower Corp.  0.400%  2/15/27 EUR         4,900       5,586
  American Tower Corp.  0.500%  1/15/28 EUR         3,409       3,872
  American Tower Corp.  0.875%  5/21/29 EUR         7,623       8,748
  American Tower Corp.  0.950%  10/5/30 EUR         4,600       5,232
  American Tower Corp.  1.250%  5/21/33 EUR         6,014       6,862
  Amgen Inc.  2.000%  2/25/26 EUR         1,772       2,200
  Amgen Inc.  5.500%  12/7/26 GBP         3,000       4,902
  Amgen Inc.  4.000%  9/13/29 GBP         3,068       4,874
  Aon plc  2.875%  5/14/26 EUR         2,318       2,980
  Apple Inc.  1.000% 11/10/22 EUR         2,761       3,238
  Apple Inc.  3.350%  1/10/24 AUD           630         493
  Apple Inc.  1.375%  1/17/24 EUR         2,854       3,417
  Apple Inc.  2.513%  8/19/24 CAD        15,324      12,687
  Apple Inc.  0.875%  5/24/25 EUR        11,570      13,770
  Apple Inc.  0.000% 11/15/25 EUR         5,940       6,862
  Apple Inc.  3.600%  6/10/26 AUD         1,290       1,034
  Apple Inc.  1.625% 11/10/26 EUR         5,057       6,289
  Apple Inc.  2.000%  9/17/27 EUR         4,827       6,156
  Apple Inc.  1.375%  5/24/29 EUR         2,659       3,297
  Apple Inc.  3.050%  7/31/29 GBP         4,477       6,880
  Apple Inc.  0.750%  2/25/30 CHF         3,750       4,262
  Apple Inc.  0.500% 11/15/31 EUR         2,874       3,315
  Apple Inc.  3.600%  7/31/42 GBP         3,773       6,932
  Aptiv plc  1.500%  3/10/25 EUR         8,197       9,833
  Archer-Daniels-Midland Co.  1.750%  6/23/23 EUR         6,818       8,146
  Archer-Daniels-Midland Co.  1.000%  9/12/25 EUR        10,636      12,706
  AT&T Inc.  2.500%  3/15/23 EUR         1,432       1,705
  AT&T Inc.  2.750%  5/19/23 EUR         6,714       8,116
  AT&T Inc.  1.050%   9/5/23 EUR         1,432       1,689
  AT&T Inc.  1.300%   9/5/23 EUR        10,441      12,342
  AT&T Inc.  1.950%  9/15/23 EUR           644         770
  AT&T Inc.  3.450%  9/19/23 AUD           760         591
  AT&T Inc.  2.400%  3/15/24 EUR         6,137       7,459
  AT&T Inc.  1.375%  12/4/24 CHF           500         567
  AT&T Inc.  4.000% 11/25/25 CAD         7,228       6,250
  AT&T Inc.  3.500% 12/17/25 EUR         3,273       4,277
  AT&T Inc.  4.100%  1/19/26 AUD           550         441
  AT&T Inc.  0.250%   3/4/26 EUR         5,000       5,761
  AT&T Inc.  1.800%   9/5/26 EUR         2,591       3,186
  AT&T Inc.  2.900%  12/4/26 GBP         4,182       6,048
  AT&T Inc.  1.600%  5/19/28 EUR         2,727       3,335
  AT&T Inc.  4.600%  9/19/28 AUD         4,270       3,526
  AT&T Inc.  2.350%   9/5/29 EUR         7,541       9,696
  AT&T Inc.  0.800%   3/4/30 EUR         2,727       3,134
  AT&T Inc.  2.050%  5/19/32 EUR         1,000       1,259
  AT&T Inc.  3.550% 12/17/32 EUR         6,792       9,700
  AT&T Inc.  5.200% 11/18/33 GBP         8,166      14,417
  AT&T Inc.  3.375%  3/15/34 EUR         1,909       2,710
  AT&T Inc.  2.450%  3/15/35 EUR         3,478       4,481
  AT&T Inc.  3.150%   9/4/36 EUR        14,383      20,044
  AT&T Inc.  2.600%  5/19/38 EUR         2,363       3,095
  AT&T Inc.  7.000%  4/30/40 GBP         2,800       6,280
  AT&T Inc.  4.250%   6/1/43 GBP         5,285       9,120
  AT&T Inc.  4.875%   6/1/44 GBP         2,950       5,584
  AT&T Inc.  4.850%  5/25/47 CAD         3,127       2,750
72


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  AT&T Inc.  5.100% 11/25/48 CAD         2,796       2,554
  Athene Global Funding  2.100%  9/24/25 CAD         1,909       1,534
  Athene Global Funding  1.750% 11/24/27 GBP         4,000       5,400
  Bank of America Corp.  0.750%  7/26/23 EUR        13,637      16,020
  Bank of America Corp.  3.301%  4/24/24 CAD         6,494       5,393
  Bank of America Corp.  1.379%   2/7/25 EUR         3,818       4,547
  Bank of America Corp.  1.375%  3/26/25 EUR         2,045       2,460
  Bank of America Corp.  2.932%  4/25/25 CAD         3,203       2,663
  Bank of America Corp.  2.300%  7/25/25 GBP         4,091       5,779
  Bank of America Corp.  3.407%  9/20/25 CAD         1,391       1,172
  Bank of America Corp.  3.515%  3/24/26 CAD         2,045       1,734
  Bank of America Corp.  0.808%   5/9/26 EUR        13,637      16,040
  Bank of America Corp.  4.250% 12/10/26 GBP         3,016       4,674
  Bank of America Corp.  1.776%   5/4/27 EUR        15,068      18,440
  Bank of America Corp.  1.978%  9/15/27 CAD         3,985       3,161
  Bank of America Corp.  0.583%  8/24/28 EUR        15,173      17,452
  Bank of America Corp.  3.648%  3/31/29 EUR         9,545      13,027
  Bank of America Corp.  2.598%   4/4/29 CAD         2,541       2,057
  Bank of America Corp.  0.694%  3/22/31 EUR        18,100      20,486
  Bank of America Corp.  0.654% 10/26/31 EUR        13,637      15,288
  Baxter International Inc.  1.300%  5/30/25 EUR         9,924      11,870
  Baxter International Inc.  1.300%  5/15/29 EUR         4,977       5,998
  Becton Dickinson and Co.  1.000% 12/15/22 EUR         5,941       6,952
  Becton Dickinson and Co.  0.034%  8/13/25 EUR         3,700       4,241
  Becton Dickinson and Co.  1.900% 12/15/26 EUR         8,058       9,964
  Becton Dickinson Euro Finance Sarl  0.632%   6/4/23 EUR         7,295       8,524
  Becton Dickinson Euro Finance Sarl  1.208%   6/4/26 EUR         5,522       6,605
  Becton Dickinson Euro Finance Sarl  0.334%  8/13/28 EUR         2,300       2,604
  Becton Dickinson Euro Finance Sarl  1.336%  8/13/41 EUR         3,100       3,456
  Berkshire Hathaway Finance Corp.  2.375%  6/19/39 GBP         4,773       6,940
  Berkshire Hathaway Finance Corp.  2.625%  6/19/59 GBP         2,454       3,925
  Berkshire Hathaway Inc.  0.750%  3/16/23 EUR           681         796
  Berkshire Hathaway Inc.  1.300%  3/15/24 EUR         7,091       8,438
  Berkshire Hathaway Inc.  0.170%  9/13/24 JPY     1,020,000       8,909
  Berkshire Hathaway Inc.  1.125%  3/16/27 EUR        15,070      18,138
  Berkshire Hathaway Inc.  0.440%  9/13/29 JPY     3,750,000      32,833
  Berkshire Hathaway Inc.  1.625%  3/16/35 EUR         4,091       5,102
  Berkshire Hathaway Inc.  0.500%  1/15/41 EUR         1,827       1,872
  Berkshire Hathaway Inc.  1.108%  9/13/49 JPY       540,000       4,348
  BlackRock Inc.  1.250%   5/6/25 EUR         4,466       5,382
  Blackstone Holdings Finance Co. LLC  2.000%  5/19/25 EUR           100         123
  Blackstone Holdings Finance Co. LLC  1.000%  10/5/26 EUR           606         722
  Blackstone Holdings Finance Co. LLC  1.500%  4/10/29 EUR         4,037       4,938
  Booking Holdings Inc.  2.375%  9/23/24 EUR         2,727       3,343
  Booking Holdings Inc.  0.100%   3/8/25 EUR        14,574      16,805
  Booking Holdings Inc.  1.800%   3/3/27 EUR         6,912       8,560
  Booking Holdings Inc.  0.500%   3/8/28 EUR         9,948      11,487
  BorgWarner Inc.  1.000%  5/19/31 EUR         5,929       6,733
  Boston Scientific Corp.  0.625%  12/1/27 EUR         3,375       3,902
  Bristol-Myers Squibb Co.  1.000%  5/15/25 EUR         1,107       1,321
  Bristol-Myers Squibb Co.  1.750%  5/15/35 EUR         2,727       3,530
  Brown-Forman Corp.  1.200%   7/7/26 EUR         1,745       2,107
  Brown-Forman Corp.  2.600%   7/7/28 GBP         6,354       9,241
  Bunge Finance Europe BV  1.850%  6/16/23 EUR        10,616      12,588
  Capital One Financial Corp.  1.650%  6/12/29 EUR         8,011       9,650
73


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Celanese US Holdings LLC  2.125%   3/1/27 EUR         5,386       6,680
  Celanese US Holdings LLC  0.625%  9/10/28 EUR         2,100       2,388
  Chubb INA Holdings Inc.  0.300% 12/15/24 EUR         1,296       1,505
  Chubb INA Holdings Inc.  1.550%  3/15/28 EUR         6,247       7,672
  Chubb INA Holdings Inc.  0.875% 12/15/29 EUR         4,364       5,129
  Chubb INA Holdings Inc.  1.400%  6/15/31 EUR         3,273       3,975
  Chubb INA Holdings Inc.  2.500%  3/15/38 EUR         8,573      11,769
  Citigroup Inc.  0.750% 10/26/23 EUR           500         587
  Citigroup Inc.  2.750%  1/24/24 GBP         7,841      11,047
  Citigroup Inc.  2.375%  5/22/24 EUR         1,363       1,673
  Citigroup Inc.  1.750%  1/28/25 EUR         3,614       4,392
  Citigroup Inc.  4.090%   6/9/25 CAD         2,114       1,820
  Citigroup Inc.  2.400% 10/31/25 JPY     4,238,600      39,393
  Citigroup Inc.  1.500%  7/24/26 EUR         6,137       7,393
  Citigroup Inc.  2.125%  9/10/26 EUR         3,682       4,619
  Citigroup Inc.  1.750% 10/23/26 GBP         7,636      10,456
  Citigroup Inc.  2.800%  6/25/27 JPY        88,600         855
  Citigroup Inc.  0.500%  10/8/27 EUR         8,863      10,210
  Citigroup Inc.  1.250%  4/10/29 EUR         2,045       2,445
  Citigroup Inc.  4.500%   3/3/31 GBP           681       1,092
  Citigroup Inc.  6.800%  6/25/38 GBP           400         920
  Citigroup Inc.  7.375%   9/1/39 GBP           483       1,183
  Coca-Cola Co.  0.500%   3/8/24 EUR         3,954       4,640
  Coca-Cola Co.  3.250%  6/11/24 AUD         1,130         883
  Coca-Cola Co.  1.125%   3/9/27 EUR         8,932      10,789
  Coca-Cola Co.  0.125%   3/9/29 EUR         3,218       3,622
  Coca-Cola Co.  0.400%   5/6/30 EUR         7,369       8,383
  Coca-Cola Co.  1.250%   3/8/31 EUR        10,296      12,476
  Coca-Cola Co.  0.500%   3/9/33 EUR         4,065       4,518
  Coca-Cola Co.  0.375%  3/15/33 EUR         6,818       7,459
  Coca-Cola Co.  1.625%   3/9/35 EUR         3,852       4,856
  Coca-Cola Co.  0.950%   5/6/36 EUR         4,404       5,072
  Coca-Cola Co.  0.800%  3/15/40 EUR         4,022       4,415
  Colgate-Palmolive Co.  0.500%   3/6/26 EUR         1,296       1,524
  Colgate-Palmolive Co.  1.375%   3/6/34 EUR         1,772       2,198
  Colgate-Palmolive Co.  0.875% 11/12/39 EUR           483         567
  Comcast Corp.  0.010%  9/14/26 EUR         3,100       3,536
  Comcast Corp.  1.500%  2/20/29 GBP         4,636       6,249
  Comcast Corp.  0.250%  9/14/29 EUR         4,700       5,292
  Comcast Corp.  5.500% 11/23/29 GBP         2,727       4,773
  Comcast Corp.  1.875%  2/20/36 GBP         4,546       6,124
  Comcast Corp.  1.250%  2/20/40 EUR         5,652       6,639
  Corning Inc.  0.992%  8/10/27 JPY     1,160,000      10,190
  CyrusOne LP / CyrusOne Finance Corp.  1.450%  1/22/27 EUR         3,386       3,929
  Danaher Corp.  1.700%  3/30/24 EUR           483         581
  Danaher Corp.  2.500%  3/30/30 EUR         7,841      10,358
  DH Europe Finance II Sarl  0.200%  3/18/26 EUR        10,432      12,015
  DH Europe Finance II Sarl  0.450%  3/18/28 EUR         2,250       2,585
  DH Europe Finance II Sarl  0.750%  9/18/31 EUR         5,113       5,852
  DH Europe Finance II Sarl  1.350%  9/18/39 EUR         7,363       8,630
  DH Europe Finance II Sarl  1.800%  9/18/49 EUR         4,091       5,100
  Digital Dutch Finco BV  1.250%   2/1/31 EUR         8,470       9,795
  Digital Euro Finco LLC  2.625%  4/15/24 EUR         3,478       4,256
  Digital Euro Finco LLC  1.125%   4/9/28 EUR        17,727      20,781
  Digital Stout Holding LLC  4.250%  1/17/25 GBP         1,500       2,226
74


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Digital Stout Holding LLC  3.300%  7/19/29 GBP         4,741       6,993
  Digital Stout Holding LLC  3.750% 10/17/30 GBP         2,727       4,173
  Discovery Communications LLC  2.500%  9/20/24 GBP         5,113       7,189
  Discovery Communications LLC  1.900%  3/19/27 EUR         9,370      11,414
  Dover Corp.  1.250%  11/9/26 EUR        13,432      16,151
  Dow Chemical Co.  0.500%  3/15/27 EUR        12,204      14,063
  Dow Chemical Co.  1.875%  3/15/40 EUR         2,523       3,100
3 DXC Capital Funding DAC  0.450%  9/15/27 EUR         3,600       4,064
3 DXC Capital Funding DAC  0.950%  9/15/31 EUR         6,000       6,687
  DXC Technology Co.  1.750%  1/15/26 EUR         9,614      11,649
  Eastman Chemical Co.  1.500%  5/26/23 EUR         6,818       8,039
  Eastman Chemical Co.  1.875% 11/23/26 EUR         7,295       9,007
  Eaton Capital Unlimited Co.  0.697%  5/14/25 EUR         8,000       9,421
  Ecolab Inc.  1.000%  1/15/24 EUR         5,195       6,136
  Eli Lilly & Co.  2.125%   6/3/30 EUR         5,522       7,227
  Eli Lilly & Co.  1.700%  11/1/49 EUR         4,227       5,592
  Emerson Electric Co.  0.375%  5/22/24 EUR         1,398       1,630
  Emerson Electric Co.  1.250% 10/15/25 EUR         1,363       1,637
  Emerson Electric Co.  2.000% 10/15/29 EUR         1,363       1,741
  Euronet Worldwide Inc.  1.375%  5/22/26 EUR         4,295       5,039
  Exxon Mobil Corp.  0.142%  6/26/24 EUR        13,704      15,912
  Exxon Mobil Corp.  0.835%  6/26/32 EUR         6,818       7,684
  Exxon Mobil Corp.  1.408%  6/26/39 EUR         7,863       8,870
  FedEx Corp.  1.625%  1/11/27 EUR         4,773       5,839
  FedEx Corp.  1.300%   8/5/31 EUR         1,568       1,853
  FedEx Corp.  0.950%   5/4/33 EUR         8,975       9,951
  Fidelity National Information Services Inc.  0.125%  12/3/22 EUR         1,023       1,186
  Fidelity National Information Services Inc.  0.750%  5/21/23 EUR         5,456       6,385
  Fidelity National Information Services Inc.  1.100%  7/15/24 EUR         8,470      10,034
  Fidelity National Information Services Inc.  1.500%  5/21/27 EUR        15,823      19,136
  Fidelity National Information Services Inc.  1.000%  12/3/28 EUR         6,955       8,158
  Fidelity National Information Services Inc.  2.250%  12/3/29 GBP         1,517       2,118
  Fidelity National Information Services Inc.  2.000%  5/21/30 EUR         3,000       3,763
  Fidelity National Information Services Inc.  3.360%  5/21/31 GBP         3,235       4,893
  Fidelity National Information Services Inc.  2.950%  5/21/39 EUR         2,245       3,175
  Fiserv Inc.  0.375%   7/1/23 EUR         1,681       1,957
  Fiserv Inc.  2.250%   7/1/25 GBP         1,432       2,014
  Fiserv Inc.  1.125%   7/1/27 EUR         1,948       2,322
  Fiserv Inc.  1.625%   7/1/30 EUR         4,704       5,737
  GE Capital Canada Funding Co.  5.730% 10/22/37 CAD         1,023         976
  GE Capital European Funding Unlimited Co.  4.625%  2/22/27 EUR         1,950       2,735
  GE Capital European Funding Unlimited Co.  6.025%   3/1/38 EUR         3,749       7,130
  GE Capital UK Funding Unlimited Co.  5.875%  1/18/33 GBP         6,094      11,180
  GE Capital UK Funding Unlimited Co.  6.250%   5/5/38 GBP         2,000       4,122
  GE Capital UK Funding Unlimited Co.  8.000%  1/14/39 GBP           750       1,807
  General Electric Co.  0.875%  5/17/25 EUR         6,125       7,227
  General Electric Co.  1.875%  5/28/27 EUR        12,000      14,872
  General Electric Co.  1.500%  5/17/29 EUR         6,159       7,456
  General Electric Co.  4.125%  9/19/35 EUR         3,614       5,547
  General Electric Co.  2.125%  5/17/37 EUR         5,454       6,841
  General Electric Co.  4.875%  9/18/37 GBP         4,934       8,364
  General Mills Inc.  1.000%  4/27/23 EUR         9,545      11,194
  General Mills Inc.  0.450%  1/15/26 EUR         2,250       2,622
  General Mills Inc.  1.500%  4/27/27 EUR         1,363       1,671
  General Motors Financial Co. Inc.  3.850%  2/21/23 AUD         2,350       1,820
75


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  General Motors Financial Co. Inc.  2.200%   4/1/24 EUR         4,054       4,913
  General Motors Financial Co. Inc.  2.250%   9/6/24 GBP           614         853
  General Motors Financial Co. Inc.  0.850%  2/26/26 EUR         6,818       7,955
  General Motors Financial Co. Inc.  0.650%   9/7/28 EUR         4,000       4,510
  General Motors Financial of Canada Ltd.  3.250%  11/7/23 CAD         3,068       2,549
  General Motors Financial of Canada Ltd.  5.950%  5/14/24 CAD         3,409       3,021
  General Motors Financial of Canada Ltd.  1.750%  4/15/26 CAD         2,000       1,570
  Goldman Sachs Group Inc.  3.250%   2/1/23 EUR         9,409      11,345
  Goldman Sachs Group Inc.  2.000%  7/27/23 EUR         8,363      10,022
  Goldman Sachs Group Inc.  1.375%  5/15/24 EUR        21,427      25,290
  Goldman Sachs Group Inc.  2.125%  9/30/24 EUR         6,231       7,612
  Goldman Sachs Group Inc.  3.375%  3/27/25 EUR         3,409       4,353
  Goldman Sachs Group Inc.  1.250%   5/1/25 EUR        15,641      18,560
  Goldman Sachs Group Inc.  7.125%   8/7/25 GBP         2,546       4,175
  Goldman Sachs Group Inc.  3.307% 10/31/25 CAD           636         534
  Goldman Sachs Group Inc.  4.250%  1/29/26 GBP        12,273      18,529
  Goldman Sachs Group Inc.  2.875%   6/3/26 EUR         3,409       4,392
  Goldman Sachs Group Inc.  1.625%  7/27/26 EUR         1,850       2,255
  Goldman Sachs Group Inc.  1.500%  12/7/27 GBP        10,000      13,351
  Goldman Sachs Group Inc.  0.250%  1/26/28 EUR         8,470       9,468
  Goldman Sachs Group Inc.  2.000%  3/22/28 EUR         4,841       6,023
  Goldman Sachs Group Inc.  7.250%  4/10/28 GBP           564       1,021
  Goldman Sachs Group Inc.  2.000%  11/1/28 EUR         6,955       8,687
  Goldman Sachs Group Inc.  2.013%  2/28/29 CAD         6,649       5,194
  Goldman Sachs Group Inc.  3.125%  7/25/29 GBP         4,773       7,055
  Goldman Sachs Group Inc.  1.000%  3/18/33 EUR        13,000      14,715
  Goldman Sachs Group Inc.  6.875%  1/18/38 GBP         1,694       3,571
  Harley-Davidson Financial Services Inc.  3.875%  5/19/23 EUR         4,180       5,117
  HCN Canadian Holdings-1 LP  2.950%  1/15/27 CAD         1,227       1,007
  Honeywell International Inc.  1.300%  2/22/23 EUR         9,659      11,393
  Honeywell International Inc.  2.250%  2/22/28 EUR         3,879       4,982
  Honeywell International Inc.  2.250%  2/22/28 EUR         7,500       9,632
  Illinois Tool Works Inc.  1.250%  5/22/23 EUR         2,114       2,490
  Illinois Tool Works Inc.  0.250%  12/5/24 EUR         3,205       3,731
  Illinois Tool Works Inc.  0.625%  12/5/27 EUR         3,749       4,395
  Illinois Tool Works Inc.  2.125%  5/22/30 EUR         7,977      10,391
  Illinois Tool Works Inc.  1.000%   6/5/31 EUR         4,227       5,033
  Intel Corp.  4.000%  12/1/22 AUD         4,820       3,751
  International Business Machines Corp.  0.375%  1/31/23 EUR         6,613       7,705
  International Business Machines Corp.  0.875%  1/31/25 EUR         2,045       2,426
  International Business Machines Corp.  0.950%  5/23/25 EUR        12,546      14,908
  International Business Machines Corp.  2.875%  11/7/25 EUR         2,796       3,591
  International Business Machines Corp.  1.250%  1/29/27 EUR         4,678       5,653
  International Business Machines Corp.  0.300%  2/11/28 EUR         5,113       5,849
  International Business Machines Corp.  1.750%  1/31/31 EUR         6,409       8,075
  International Business Machines Corp.  1.200%  2/11/40 EUR         3,682       4,378
  International Flavors & Fragrances Inc.  1.800%  9/25/26 EUR         6,091       7,463
  John Deere Canada Funding Inc.  2.700%  1/17/23 CAD         1,098         905
  John Deere Cash Management Sarl  0.500%  9/15/23 EUR         1,500       1,760
  John Deere Cash Management Sarl  2.200%   4/2/32 EUR         6,818       9,115
  John Deere Cash Management Sarl  1.650%  6/13/39 EUR         3,409       4,482
  John Deere Financial Inc.  1.090%  7/17/24 CAD         2,000       1,593
  John Deere Financial Inc.  2.580% 10/16/26 CAD         1,296       1,069
  John Deere Financial Inc.  1.340%   9/8/27 CAD         5,386       4,130
  Johnson & Johnson  0.250%  1/20/22 EUR         1,841       2,130
76


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Johnson & Johnson  0.650%  5/20/24 EUR         6,955       8,204
  Johnson & Johnson  1.150% 11/20/28 EUR           818       1,005
  Johnson & Johnson  1.650%  5/20/35 EUR           150         195
  Johnson Controls International plc  1.000%  9/15/23 EUR         2,046       2,411
  Johnson Controls International plc  1.375%  2/25/25 EUR        10,885      13,047
  Johnson Controls International plc / Tyco Fire & Security Finance SCA  0.375%  9/15/27 EUR         3,395       3,892
  Johnson Controls International plc / Tyco Fire & Security Finance SCA  1.000%  9/15/32 EUR         2,454       2,839
  JPMorgan Chase & Co.  0.500%  12/4/23 CHF        29,045      32,176
  JPMorgan Chase & Co.  1.500%  1/27/25 EUR         5,455       6,599
  JPMorgan Chase & Co.  3.000%  2/19/26 EUR         3,818       4,947
  JPMorgan Chase & Co.  0.991%  4/28/26 GBP        10,000      13,432
  JPMorgan Chase & Co.  3.500% 12/18/26 GBP         3,409       5,125
  JPMorgan Chase & Co.  1.090%  3/11/27 EUR        49,795      59,072
  JPMorgan Chase & Co.  0.389%  2/24/28 EUR        18,480      21,139
  JPMorgan Chase & Co.  1.896%   3/5/28 CAD        11,000       8,659
  JPMorgan Chase & Co.  1.638%  5/18/28 EUR         2,838       3,466
  JPMorgan Chase & Co.  1.001%  7/25/31 EUR         8,822      10,256
  JPMorgan Chase & Co.  1.047%  11/4/32 EUR         6,776       7,857
  Kellogg Co.  1.250%  3/10/25 EUR         3,478       4,160
  Kinder Morgan Inc.  2.250%  3/16/27 EUR         4,819       6,083
  KKR Group Finance Co. V LLC  1.625%  5/22/29 EUR         6,818       8,338
3 KKR Group Finance Co. V LLC  1.625%  5/22/29 EUR         2,045       2,501
  Liberty Mutual Group Inc.  2.750%   5/4/26 EUR         9,545      12,104
  LYB International Finance II BV  0.875%  9/17/26 EUR         6,137       7,237
  ManpowerGroup Inc.  1.750%  6/22/26 EUR           350         430
  Mastercard Inc.  1.100%  12/1/22 EUR         8,762      10,254
  Mastercard Inc.  2.100%  12/1/27 EUR         5,548       7,082
  McDonald's Corp.  2.000%   6/1/23 EUR         1,300       1,555
  McDonald's Corp.  1.000% 11/15/23 EUR        11,500      13,601
  McDonald's Corp.  0.625%  1/29/24 EUR         8,600      10,098
  McDonald's Corp.  3.000%   3/8/24 AUD        14,800      11,431
  McDonald's Corp.  2.375% 11/27/24 EUR           100         124
  McDonald's Corp.  3.125%   3/4/25 CAD         6,818       5,751
  McDonald's Corp.  0.900%  6/15/26 EUR           100         119
  McDonald's Corp.  1.875%  5/26/27 EUR           100         125
  McDonald's Corp.  1.750%   5/3/28 EUR         2,600       3,241
  McDonald's Corp.  2.625%  6/11/29 EUR           100         133
  McDonald's Corp.  1.500% 11/28/29 EUR         9,600      11,782
  McDonald's Corp.  4.125%  6/11/54 GBP         1,200       2,396
  McKesson Corp.  1.500% 11/17/25 EUR         8,591      10,413
  McKesson Corp.  1.625% 10/30/26 EUR         6,955       8,527
  McKesson Corp.  3.125%  2/17/29 GBP           620         910
  Medtronic Global Holdings SCA  0.375%   3/7/23 EUR         2,523       2,940
  Medtronic Global Holdings SCA  0.250%   7/2/25 EUR         1,977       2,298
  Medtronic Global Holdings SCA  0.375% 10/15/28 EUR         4,841       5,561
  Medtronic Global Holdings SCA  1.625%   3/7/31 EUR         5,522       6,891
  Medtronic Global Holdings SCA  1.000%   7/2/31 EUR         1,909       2,255
  Medtronic Global Holdings SCA  0.750% 10/15/32 EUR         6,818       7,793
  Medtronic Global Holdings SCA  2.250%   3/7/39 EUR         2,114       2,838
  Medtronic Global Holdings SCA  1.500%   7/2/39 EUR         6,955       8,384
  Medtronic Global Holdings SCA  1.375% 10/15/40 EUR         3,273       3,839
  Medtronic Global Holdings SCA  1.750%   7/2/49 EUR        10,432      12,845
  Medtronic Global Holdings SCA  1.625% 10/15/50 EUR         6,409       7,745
  Merck & Co. Inc.  0.500%  11/2/24 EUR         6,763       7,940
77


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Merck & Co. Inc.  1.875% 10/15/26 EUR         2,250       2,818
  Merck & Co. Inc.  2.500% 10/15/34 EUR         3,586       5,070
  Merck & Co. Inc.  1.375%  11/2/36 EUR         1,636       2,056
  MetLife Inc.  5.375%  12/9/24 GBP         2,966       4,551
  MetLife Inc.  0.769%  5/23/29 JPY       960,000       8,501
  Metropolitan Life Global Funding I  2.625%  12/5/22 GBP         1,466       2,044
  Metropolitan Life Global Funding I  2.375%  1/11/23 EUR           483         576
  Metropolitan Life Global Funding I  0.375%   4/9/24 EUR         3,409       3,985
  Metropolitan Life Global Funding I  4.000%  7/13/27 AUD         1,841       1,474
  Metropolitan Life Global Funding I  0.625%  12/8/27 GBP         5,929       7,689
  Metropolitan Life Global Funding I  1.950%  3/20/28 CAD         3,800       2,990
  Metropolitan Life Global Funding I  3.394%   4/9/30 CAD         1,909       1,632
  Microsoft Corp.  3.125%  12/6/28 EUR         3,400       4,750
  Microsoft Corp.  2.625%   5/2/33 EUR         2,727       3,899
  Mohawk Capital Finance SA  1.750%  6/12/27 EUR         1,900       2,335
  Molson Coors Beverage Co.  1.250%  7/15/24 EUR         6,000       7,116
  Molson Coors International LP  2.840%  7/15/23 CAD         3,409       2,805
  Molson Coors International LP  3.440%  7/15/26 CAD         1,943       1,642
3 Mondelez International Holdings Netherlands BV  0.000%  9/22/26 EUR         6,477       7,363
3 Mondelez International Holdings Netherlands BV  0.250%   9/9/29 EUR         4,800       5,390
3 Mondelez International Holdings Netherlands BV  1.250%   9/9/41 EUR         2,100       2,342
  Mondelez International Inc.  3.250%   3/7/25 CAD         2,193       1,845
  Mondelez International Inc.  1.625%   3/8/27 EUR         8,090       9,925
  Mondelez International Inc.  0.250%  3/17/28 EUR        12,000      13,590
  Mondelez International Inc.  0.750%  3/17/33 EUR         8,000       8,873
  Mondelez International Inc.  2.375%   3/6/35 EUR           792       1,036
  Moody's Corp.  1.750%   3/9/27 EUR         2,052       2,545
  Moody's Corp.  0.950%  2/25/30 EUR         4,091       4,831
  Morgan Stanley  1.000%  12/2/22 EUR        19,970      23,416
  Morgan Stanley  1.875%  3/30/23 EUR         2,045       2,434
  Morgan Stanley  3.000%   2/7/24 CAD         6,812       5,679
  Morgan Stanley  0.637%  7/26/24 EUR        13,773      16,120
  Morgan Stanley  1.750%  1/30/25 EUR         8,386      10,192
  Morgan Stanley  1.342% 10/23/26 EUR         9,205      11,063
  Morgan Stanley  2.625%   3/9/27 GBP         5,958       8,519
  Morgan Stanley  1.875%  4/27/27 EUR         4,060       5,033
  Morgan Stanley  1.779%   8/4/27 CAD         2,000       1,573
  Morgan Stanley  0.406% 10/29/27 EUR         9,853      11,290
  Morgan Stanley  0.495% 10/26/29 EUR        22,637      25,568
  Morgan Stanley  0.497%   2/7/31 EUR        13,055      14,550
  Nasdaq Inc.  1.750%  3/28/29 EUR         6,477       8,021
  Nasdaq Inc.  0.875%  2/13/30 EUR         6,790       7,875
  Nasdaq Inc.  0.900%  7/30/33 EUR         3,300       3,694
  National Grid North America Inc.  0.750%   8/8/23 EUR           500         586
  National Grid North America Inc.  1.000%  7/12/24 EUR           500         591
  New York Life Global Funding  1.250% 12/17/26 GBP         5,000       6,779
  New York Life Global Funding  0.250%  1/23/27 EUR         6,818       7,854
  New York Life Global Funding  2.000%  4/17/28 CAD         4,000       3,178
  NextEra Energy Capital Holdings Inc.  2.200%  12/2/26 AUD         3,070       2,230
  Omnicom Finance Holdings plc  0.800%   7/8/27 EUR         2,591       3,057
  Omnicom Finance Holdings plc  1.400%   7/8/31 EUR         3,068       3,747
  Oracle Corp.  3.125%  7/10/25 EUR           681         875
  Parker-Hannifin Corp.  1.125%   3/1/25 EUR        10,630      12,598
78


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  PepsiCo Inc.  2.500%  11/1/22 GBP           500         696
  PepsiCo Inc.  0.250%   5/6/24 EUR         4,295       5,013
  PepsiCo Inc.  2.150%   5/6/24 CAD         2,182       1,787
  PepsiCo Inc.  0.750%  3/18/27 EUR         1,363       1,618
  PepsiCo Inc.  0.500%   5/6/28 EUR         8,045       9,399
  PepsiCo Inc.  0.875%  7/18/28 EUR         2,454       2,929
  PepsiCo Inc.  1.125%  3/18/31 EUR         1,296       1,563
  PepsiCo Inc.  0.400%  10/9/32 EUR         8,111       9,028
  PepsiCo Inc.  0.750% 10/14/33 EUR         4,527       5,181
  PepsiCo Inc.  0.875% 10/16/39 EUR         6,750       7,737
  PepsiCo Inc.  1.050%  10/9/50 EUR         1,500       1,722
  PerkinElmer Inc.  1.875%  7/19/26 EUR         3,136       3,853
  Pfizer Inc.  0.250%   3/6/22 EUR         8,659      10,027
  Pfizer Inc.  1.000%   3/6/27 EUR         2,318       2,784
  Pfizer Inc.  2.735%  6/15/43 GBP         1,255       1,945
  Philip Morris International Inc.  0.625%  11/8/24 EUR           954       1,117
  Philip Morris International Inc.  2.875%  5/14/29 EUR         1,705       2,264
  Philip Morris International Inc.  0.800%   8/1/31 EUR         6,137       6,844
  Philip Morris International Inc.  3.125%   6/3/33 EUR           681         935
  Philip Morris International Inc.  2.000%   5/9/36 EUR         5,455       6,512
  Philip Morris International Inc.  1.875%  11/6/37 EUR         3,682       4,314
  Philip Morris International Inc.  1.450%   8/1/39 EUR         4,227       4,620
  PPG Industries Inc.  0.875%  11/3/25 EUR         1,772       2,101
  PPG Industries Inc.  1.400%  3/13/27 EUR           300         367
  Praxair Inc.  1.200%  2/12/24 EUR         5,455       6,509
  Praxair Inc.  1.625%  12/1/25 EUR        14,011      17,280
  Procter & Gamble Co.  1.125%  11/2/23 EUR         7,923       9,416
  Procter & Gamble Co.  0.500% 10/25/24 EUR         2,045       2,407
  Procter & Gamble Co.  0.625% 10/30/24 EUR         2,796       3,301
  Procter & Gamble Co.  1.375%   5/3/25 GBP         6,682       9,237
  Procter & Gamble Co.  1.200% 10/30/28 EUR         3,205       3,934
  Procter & Gamble Co.  1.800%   5/3/29 GBP         8,607      12,174
  Procter & Gamble Co.  1.250% 10/25/29 EUR         4,773       5,885
  Procter & Gamble Co.  1.875% 10/30/38 EUR         1,636       2,229
  Prologis Euro Finance LLC  0.250%  9/10/27 EUR        11,591      13,274
  Prologis Euro Finance LLC  0.375%   2/6/28 EUR         2,273       2,614
  Prologis Euro Finance LLC  1.875%   1/5/29 EUR           723         908
  Prologis Euro Finance LLC  0.625%  9/10/31 EUR         4,125       4,633
  Prologis Euro Finance LLC  0.500%  2/16/32 EUR         8,724       9,636
  Prologis Euro Finance LLC  1.000%   2/6/35 EUR         2,250       2,546
  Prologis Euro Finance LLC  1.000%  2/16/41 EUR         3,896       4,249
  Prologis Euro Finance LLC  1.500%  9/10/49 EUR         3,136       3,591
  Prologis LP  3.000%   6/2/26 EUR         1,091       1,419
  Prologis LP  2.250%  6/30/29 GBP         2,944       4,203
  Public Storage  0.500%   9/9/30 EUR         5,900       6,609
  Public Storage  0.875%  1/24/32 EUR         4,568       5,183
  Raytheon Technologies Corp.  2.150%  5/18/30 EUR         8,470      10,765
  Realty Income Corp.  1.125%  7/13/27 GBP         8,000      10,631
  Realty Income Corp.  1.750%  7/13/33 GBP         4,900       6,526
  Schlumberger Finance BV  0.250% 10/15/27 EUR         6,818       7,800
  Schlumberger Finance BV  0.500% 10/15/31 EUR         6,818       7,648
  Schlumberger Finance BV  2.000%   5/6/32 EUR         4,000       5,129
  Schlumberger Finance France SAS  1.000%  2/18/26 EUR         2,318       2,765
  Schneider Electric SE  1.500%   9/8/23 EUR           400         475
  Schneider Electric SE  0.250%   9/9/24 EUR         6,100       7,119
79


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Schneider Electric SE  0.875%  3/11/25 EUR         2,100       2,496
  Schneider Electric SE  1.500%  1/15/28 EUR         7,500       9,321
  Schneider Electric SE  0.250%  3/11/29 EUR        10,200      11,723
  Simon International Finance SCA  1.125%  3/19/33 EUR         3,000       3,417
  Southern Co.  1.875%  9/15/81 EUR         5,000       5,644
  Southern Power Co.  1.850%  6/20/26 EUR         7,295       9,002
  Stellantis NV  2.000%  3/20/25 EUR         2,500       3,039
  Stellantis NV  3.875%   1/5/26 EUR        11,591      15,163
  Stellantis NV  4.500%   7/7/28 EUR        12,748      18,044
  Stellantis NV  1.250%  6/20/33 EUR        10,000      11,221
  Stryker Corp.  1.125% 11/30/23 EUR         1,568       1,860
  Stryker Corp.  0.250%  12/3/24 EUR         2,591       3,010
  Stryker Corp.  2.125% 11/30/27 EUR         1,296       1,638
  Stryker Corp.  2.625% 11/30/30 EUR         1,432       1,908
  Stryker Corp.  1.000%  12/3/31 EUR         7,499       8,778
  Swiss Re Finance UK plc  2.714%   6/4/52 EUR         3,200       3,988
  Sysco Canada Inc.  3.650%  4/25/25 CAD         1,745       1,480
  Thermo Fisher Scientific Finance I BV  0.800% 10/18/30 EUR         6,302       7,276
  Thermo Fisher Scientific Finance I BV  1.125% 10/18/33 EUR         4,962       5,758
  Thermo Fisher Scientific Inc.  0.750%  9/12/24 EUR         3,190       3,759
  Thermo Fisher Scientific Inc.  0.125%   3/1/25 EUR         4,364       5,039
  Thermo Fisher Scientific Inc.  2.000%  4/15/25 EUR         4,091       5,012
  Thermo Fisher Scientific Inc.  1.400%  1/23/26 EUR        11,217      13,543
  Thermo Fisher Scientific Inc.  1.750%  4/15/27 EUR         2,045       2,527
  Thermo Fisher Scientific Inc.  0.500%   3/1/28 EUR         2,114       2,436
  Thermo Fisher Scientific Inc.  1.375%  9/12/28 EUR           681         824
  Thermo Fisher Scientific Inc.  2.875%  7/24/37 EUR         4,515       6,348
  Thermo Fisher Scientific Inc.  1.500%  10/1/39 EUR         2,727       3,214
  Thermo Fisher Scientific Inc.  1.875%  10/1/49 EUR         7,432       9,088
  Time Warner Cable LLC  5.250%  7/15/42 GBP         4,022       7,363
  Toyota Motor Credit Corp.  0.625% 11/21/24 EUR           200         235
  Toyota Motor Credit Corp.  0.750% 11/19/26 GBP         5,000       6,587
  Toyota Motor Credit Corp.  0.125%  11/5/27 EUR        10,000      11,363
  Trillium Windpower LP  5.803%  2/15/33 CAD           973         899
  TWDC Enterprises 18 Corp.  2.758%  10/7/24 CAD         7,040       5,850
  Tyco Electronics Group SA  1.100%   3/1/23 EUR         2,541       2,981
  Tyco Electronics Group SA  0.000%  2/14/25 EUR         4,295       4,957
  Tyco Electronics Group SA  0.000%  2/16/29 EUR         6,268       6,959
  United Parcel Service Inc.  0.375% 11/15/23 EUR         5,046       5,897
  United Parcel Service Inc.  2.125%  5/21/24 CAD         4,773       3,905
  United Parcel Service Inc.  1.625% 11/15/25 EUR         8,114       9,929
  United Parcel Service Inc.  1.500% 11/15/32 EUR         2,250       2,798
  United Parcel Service Inc.  5.125%  2/12/50 GBP         1,150       2,631
  Upjohn Finance BV  1.362%  6/23/27 EUR         5,455       6,492
  Upjohn Finance BV  1.908%  6/23/32 EUR         5,455       6,539
  US Bancorp  0.850%   6/7/24 EUR        10,120      11,955
  Utah Acquisition Sub Inc.  3.125% 11/22/28 EUR           804       1,057
  Ventas Canada Finance Ltd.  2.550%  3/15/23 CAD         1,636       1,339
  Ventas Canada Finance Ltd.  2.800%  4/12/24 CAD         4,250       3,509
  Ventas Canada Finance Ltd.  4.125%  9/30/24 CAD           818         698
  Verizon Communications Inc.  3.500%  2/17/23 AUD         4,340       3,361
  Verizon Communications Inc.  4.073%  6/18/24 GBP         2,045       3,010
  Verizon Communications Inc.  4.050%  2/17/25 AUD         1,050         837
  Verizon Communications Inc.  0.875%   4/2/25 EUR         3,341       3,957
  Verizon Communications Inc.  3.250%  2/17/26 EUR         1,772       2,318
80


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Verizon Communications Inc.  1.375% 10/27/26 EUR         4,773       5,795
  Verizon Communications Inc.  0.875%   4/8/27 EUR        17,022      20,123
  Verizon Communications Inc.  4.500%  8/17/27 AUD         8,590       7,040
  Verizon Communications Inc.  2.350%  3/23/28 AUD         2,000       1,445
  Verizon Communications Inc.  1.375%  11/2/28 EUR         6,682       8,147
  Verizon Communications Inc.  1.125%  11/3/28 GBP         8,928      11,665
  Verizon Communications Inc.  0.375%  3/22/29 EUR        10,583      11,969
  Verizon Communications Inc.  1.875% 10/26/29 EUR         2,260       2,850
  Verizon Communications Inc.  1.250%   4/8/30 EUR         6,818       8,169
  Verizon Communications Inc.  2.500%  5/16/30 CAD         3,796       3,012
  Verizon Communications Inc.  1.875%  9/19/30 GBP         1,091       1,482
  Verizon Communications Inc.  2.500%   4/8/31 GBP           553         785
  Verizon Communications Inc.  2.625%  12/1/31 EUR         2,000       2,676
  Verizon Communications Inc.  0.750%  3/22/32 EUR         5,470       6,154
  Verizon Communications Inc.  1.300%  5/18/33 EUR         5,711       6,715
  Verizon Communications Inc.  1.125%  9/19/35 EUR         5,473       6,236
  Verizon Communications Inc.  3.125%  11/2/35 GBP         3,568       5,438
  Verizon Communications Inc.  3.375% 10/27/36 GBP         6,243       9,800
  Verizon Communications Inc.  2.875%  1/15/38 EUR         7,350      10,329
  Verizon Communications Inc.  1.875%  11/3/38 GBP         4,591       5,953
  Verizon Communications Inc.  1.500%  9/19/39 EUR         1,560       1,838
  Verizon Communications Inc.  3.500%  11/4/39 AUD         1,000         696
  Verizon Communications Inc.  1.850%  5/18/40 EUR         1,000       1,238
  Verizon Communications Inc.  3.625%  5/16/50 CAD         7,075       5,437
  Verizon Communications Inc.  4.050%  3/22/51 CAD         1,058         875
  VF Corp.  0.625%  9/20/23 EUR         3,682       4,307
  VF Corp.  0.250%  2/25/28 EUR         1,023       1,163
  Walgreens Boots Alliance Inc.  3.600% 11/20/25 GBP           903       1,318
  Walmart Inc.  1.900%   4/8/22 EUR         5,795       6,728
  Walmart Inc.  2.550%   4/8/26 EUR         1,296       1,656
  Walmart Inc.  4.875%  9/21/29 EUR         7,329      11,339
  Walmart Inc.  5.625%  3/27/34 GBP        10,114      19,951
  Walmart Inc.  5.250%  9/28/35 GBP           681       1,338
  Walt Disney Co.  3.057%  3/30/27 CAD         3,954       3,301
  Waste Management of Canada Corp.  2.600%  9/23/26 CAD         2,544       2,095
  Wells Fargo & Co.  2.250%   5/2/23 EUR        11,113      13,306
  Wells Fargo & Co.  2.509% 10/27/23 CAD         7,507       6,185
  Wells Fargo & Co.  0.500%  11/2/23 CHF        13,635      15,037
  Wells Fargo & Co.  2.125% 12/20/23 GBP           644         894
  Wells Fargo & Co.  3.184%   2/8/24 CAD         3,409       2,842
  Wells Fargo & Co.  0.500%  4/26/24 EUR         7,023       8,202
  Wells Fargo & Co.  3.874%  5/21/25 CAD         2,350       2,006
  Wells Fargo & Co.  1.625%   6/2/25 EUR         3,409       4,125
  Wells Fargo & Co.  2.000%  7/28/25 GBP        18,682      25,902
  Wells Fargo & Co.  2.000%  4/27/26 EUR        13,637      16,809
  Wells Fargo & Co.  2.975%  5/19/26 CAD         6,886       5,722
  Wells Fargo & Co.  1.375% 10/26/26 EUR         9,068      10,897
  Wells Fargo & Co.  1.000%   2/2/27 EUR        10,110      11,897
  Wells Fargo & Co.  2.493%  2/18/27 CAD         3,746       3,029
  Wells Fargo & Co.  1.500%  5/24/27 EUR        13,637      16,453
  Wells Fargo & Co.  3.500%  9/12/29 GBP         2,952       4,456
  Wells Fargo & Co.  1.741%   5/4/30 EUR         6,818       8,300
  Wells Fargo & Co.  0.625%  8/14/30 EUR         5,455       6,125
  Wells Fargo & Co.  4.625%  11/2/35 GBP         1,694       2,971
  Wells Fargo Bank NA  5.250%   8/1/23 GBP         6,350       9,249
81


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Wells Fargo Canada Corp.  3.460%  1/24/23 CAD        11,249       9,366
  Welltower Inc.  4.800% 11/20/28 GBP         4,977       8,015
  Welltower Inc.  4.500%  12/1/34 GBP         3,273       5,473
  Whirlpool Finance Luxembourg Sarl  1.250%  11/2/26 EUR         7,295       8,788
  Whirlpool Finance Luxembourg Sarl  1.100%  11/9/27 EUR         2,454       2,925
  WPC Eurobond BV  2.250%  7/19/24 EUR         4,295       5,229
  WPC Eurobond BV  2.250%   4/9/26 EUR         2,796       3,455
  WPC Eurobond BV  2.125%  4/15/27 EUR        13,319      16,487
  WPC Eurobond BV  1.350%  4/15/28 EUR         6,137       7,239
  WPC Eurobond BV  0.950%   6/1/30 EUR         2,456       2,753
  Xylem Inc.  2.250%  3/11/23 EUR         2,591       3,075
  Zimmer Biomet Holdings Inc.  1.414% 12/13/22 EUR         4,022       4,729
                   3,722,356
Total Corporate Bonds (Cost $23,033,246)     23,701,296
Sovereign Bonds (77.8%)      
Australia (2.7%)                              
  Australian Capital Territory  4.000%  5/22/24 AUD         3,400       2,720
  Australian Capital Territory  1.250%  5/22/25 AUD           850         634
  Australian Capital Territory  2.500%  5/21/26 AUD         1,360       1,057
  Australian Capital Territory  3.000%  4/18/28 AUD           400         319
  Australian Capital Territory  2.250%  5/22/29 AUD         6,830       5,154
  Australian Capital Territory  1.750%  5/17/30 AUD         1,500       1,087
  Australian Capital Territory  1.750% 10/23/31 AUD           600         425
  Commonwealth of Australia  5.750%  7/15/22 AUD        60,939      47,577
  Commonwealth of Australia  2.250% 11/21/22 AUD        35,800      27,442
  Commonwealth of Australia  5.500%  4/21/23 AUD        68,618      55,299
  Commonwealth of Australia  2.750%  4/21/24 AUD        27,273      21,483
  Commonwealth of Australia  0.250% 11/21/24 AUD       165,573     120,947
  Commonwealth of Australia  3.250%  4/21/25 AUD       123,947      99,273
  Commonwealth of Australia  0.250% 11/21/25 AUD        56,591      40,542
  Commonwealth of Australia  4.250%  4/21/26 AUD       104,259      87,729
  Commonwealth of Australia  0.500%  9/21/26 AUD        87,551      62,587
  Commonwealth of Australia  4.750%  4/21/27 AUD       108,648      95,174
  Commonwealth of Australia  2.750% 11/21/27 AUD       111,318      88,955
  Commonwealth of Australia  2.250%  5/21/28 AUD       156,354     122,175
  Commonwealth of Australia  2.750% 11/21/28 AUD       199,578     159,650
  Commonwealth of Australia  3.250%  4/21/29 AUD       216,277     178,545
  Commonwealth of Australia  2.750% 11/21/29 AUD       158,499     128,000
  Commonwealth of Australia  2.500%  5/21/30 AUD       147,317     115,831
  Commonwealth of Australia  1.000% 12/21/30 AUD       179,991     125,602
  Commonwealth of Australia  1.500%  6/21/31 AUD       143,821     104,636
  Commonwealth of Australia  1.000% 11/21/31 AUD       143,681      97,771
  Commonwealth of Australia  1.250%  5/21/32 AUD        80,765      56,811
  Commonwealth of Australia  4.500%  4/21/33 AUD        66,495      62,232
  Commonwealth of Australia  2.750%  6/21/35 AUD        63,658      50,550
  Commonwealth of Australia  3.750%  4/21/37 AUD        48,477      42,802
  Commonwealth of Australia  3.250%  6/21/39 AUD        49,852      41,217
  Commonwealth of Australia  2.750%  5/21/41 AUD        48,203      36,749
  Commonwealth of Australia  3.000%  3/21/47 AUD        87,550      68,953
  Commonwealth of Australia  1.750%  6/21/51 AUD        61,289      36,880
  National Housing Finance and Investment Corp.  2.380%  3/28/29 AUD         1,990       1,527
  National Housing Finance and Investment Corp.  2.335%  6/30/36 AUD         5,000       3,646
82


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  New South Wales Treasury Corp.  4.000%  4/20/23 AUD        22,909      18,054
  New South Wales Treasury Corp.  1.000%   2/8/24 AUD        21,137      15,833
  New South Wales Treasury Corp.  5.000%  8/20/24 AUD        22,636      18,734
  New South Wales Treasury Corp.  1.250%  3/20/25 AUD        27,273      20,376
  New South Wales Treasury Corp.  4.000%  5/20/26 AUD         6,546       5,420
  New South Wales Treasury Corp.  3.000%  5/20/27 AUD        89,301      71,325
  New South Wales Treasury Corp.  3.000%  3/20/28 AUD        85,606      68,377
  New South Wales Treasury Corp.  3.000% 11/15/28 AUD        13,637      10,917
  New South Wales Treasury Corp.  3.000%  4/20/29 AUD        15,681      12,515
  New South Wales Treasury Corp.  3.000%  2/20/30 AUD        38,154      30,468
  New South Wales Treasury Corp.  2.000%  3/20/31 AUD        28,470      20,872
  New South Wales Treasury Corp.  1.500%  2/20/32 AUD        20,000      13,807
  New South Wales Treasury Corp.  2.000%   3/8/33 AUD         8,470       6,044
  New South Wales Treasury Corp.  3.500%  3/20/34 AUD           564         467
  New South Wales Treasury Corp.  2.250% 11/20/40 AUD        15,227      10,046
  New South Wales Treasury Corp.  2.450%  8/24/50 AUD           350         226
  Northern Territory Treasury Corp.  2.500% 11/21/22 AUD           500         385
  Northern Territory Treasury Corp.  2.750% 10/21/24 AUD         3,800       2,963
  Northern Territory Treasury Corp.  2.750%  4/21/27 AUD         7,000       5,491
  Northern Territory Treasury Corp.  3.500%  4/21/28 AUD         1,300       1,064
  Northern Territory Treasury Corp.  3.500%  5/21/30 AUD         3,200       2,635
  Northern Territory Treasury Corp.  2.000%  4/21/31 AUD           800         575
3 Queensland Treasury Corp.  4.250%  7/21/23 AUD        34,568      27,464
3 Queensland Treasury Corp.  3.000%  3/22/24 AUD         9,205       7,237
  Queensland Treasury Corp.  5.750%  7/22/24 AUD        31,500      26,497
3 Queensland Treasury Corp.  4.750%  7/21/25 AUD        33,749      28,309
3 Queensland Treasury Corp.  3.250%  7/21/26 AUD        42,613      34,251
3 Queensland Treasury Corp.  2.750%  8/20/27 AUD        36,136      28,456
3 Queensland Treasury Corp.  3.250%  7/21/28 AUD        29,113      23,576
3 Queensland Treasury Corp.  3.250%  8/21/29 AUD        31,600      25,649
3 Queensland Treasury Corp.  3.500%  8/21/30 AUD        54,534      45,268
3 Queensland Treasury Corp.  1.750%  8/21/31 AUD        23,812      16,975
3 Queensland Treasury Corp.  1.500%  8/20/32 AUD        20,000      13,719
  Queensland Treasury Corp.  6.500%  3/14/33 AUD         5,659       5,958
3 Queensland Treasury Corp.  1.750%  7/20/34 AUD         1,705       1,161
3 Queensland Treasury Corp.  2.250%  4/16/40 AUD        10,227       6,887
3 Queensland Treasury Corp.  2.250% 11/20/41 AUD        10,091       6,666
3 Queensland Treasury Corp.  4.200%  2/20/47 AUD         5,359       4,820
  South Australian Government Financing Authority  4.250% 11/20/23 AUD         3,409       2,731
  South Australian Government Financing Authority  2.250%  8/15/24 AUD        11,931       9,190
  South Australian Government Financing Authority  2.750%  4/16/25 AUD         7,499       5,881
  South Australian Government Financing Authority  3.000%  7/20/26 AUD         5,625       4,473
  South Australian Government Financing Authority  3.000%  9/20/27 AUD           853         681
  South Australian Government Financing Authority  3.000%  5/24/28 AUD        12,486       9,967
  South Australian Government Financing Authority  2.750%  5/24/30 AUD        21,013      16,488
  South Australian Government Financing Authority  1.750%  5/24/32 AUD        19,152      13,496
  Tasmanian Public Finance Corp.  3.250%  2/19/26 AUD         6,547       5,231
  Tasmanian Public Finance Corp.  3.250%  1/24/28 AUD         1,023         823
83


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Tasmanian Public Finance Corp.  2.000%  1/24/30 AUD         1,050         770
  Treasury Corp. of Victoria  5.500% 12/17/24 AUD         9,545       8,077
  Treasury Corp. of Victoria  5.500% 11/17/26 AUD        35,455      31,522
  Treasury Corp. of Victoria  1.250% 11/19/27 AUD        16,941      12,280
  Treasury Corp. of Victoria  3.000% 10/20/28 AUD        25,995      20,710
  Treasury Corp. of Victoria  2.500% 10/22/29 AUD        48,781      37,560
  Treasury Corp. of Victoria  1.500% 11/20/30 AUD        45,105      31,714
  Treasury Corp. of Victoria  1.500%  9/10/31 AUD        13,637       9,501
  Treasury Corp. of Victoria  4.250% 12/20/32 AUD        28,749      25,500
  Treasury Corp. of Victoria  2.250%  9/15/33 AUD        10,000       7,298
  Treasury Corp. of Victoria  2.250% 11/20/34 AUD        10,227       7,351
  Treasury Corp. of Victoria  2.000%  9/17/35 AUD        10,000       6,816
  Treasury Corp. of Victoria  2.250% 11/20/41 AUD        20,420      13,323
  Western Australian Treasury Corp.  6.000% 10/16/23 AUD         6,818       5,629
  Western Australian Treasury Corp.  2.500%  7/23/24 AUD        32,727      25,349
  Western Australian Treasury Corp.  5.000%  7/23/25 AUD        10,568       8,937
  Western Australian Treasury Corp.  3.000% 10/21/26 AUD        16,933      13,497
  Western Australian Treasury Corp.  3.000% 10/21/27 AUD         6,818       5,458
  Western Australian Treasury Corp.  3.250%  7/20/28 AUD        21,768      17,639
  Western Australian Treasury Corp.  2.750%  7/24/29 AUD         9,899       7,780
  Western Australian Treasury Corp.  1.750% 10/22/31 AUD        21,068      15,024
  Western Australian Treasury Corp.  2.000% 10/24/34 AUD           450         315
                   3,212,479
Austria (1.1%)                              
  Autobahnen- und Schnell- strassen-Finanzierungs AG  0.250% 10/18/24 EUR        23,181      27,082
  Autobahnen- und Schnell- strassen-Finanzierungs AG  3.375%  9/22/25 EUR         1,363       1,784
  Autobahnen- und Schnell- strassen-Finanzierungs AG  0.100%   7/9/29 EUR         6,137       7,048
  Autobahnen- und Schnell- strassen-Finanzierungs AG  2.750%  6/11/32 EUR           500         722
  Autobahnen- und Schnell- strassen-Finanzierungs AG  2.750%  6/20/33 EUR           818       1,197
2 Oesterreichische Kontrollbank AG  2.625% 11/22/24 CHF        20,865      24,804
2 Oesterreichische Kontrollbank AG  3.200%  8/25/25 AUD         1,023         807
2 Oesterreichische Kontrollbank AG  0.000%  10/8/26 EUR         3,409       3,941
2 Oesterreichische Kontrollbank AG  2.875%  2/25/30 CHF         3,065       4,091
3 Republic of Austria  3.400% 11/22/22 EUR        20,659      24,872
3 Republic of Austria  0.000%  4/20/23 EUR        69,749      81,310
3 Republic of Austria  0.000%  7/15/23 EUR        17,778      20,753
3 Republic of Austria  1.750% 10/20/23 EUR        34,724      41,977
3 Republic of Austria  0.000%  7/15/24 EUR        47,727      55,894
3 Republic of Austria  1.650% 10/21/24 EUR         4,630       5,695
3 Republic of Austria  0.000%  4/20/25 EUR       214,100     250,782
3 Republic of Austria  0.750% 10/20/26 EUR        52,636      63,999
3 Republic of Austria  0.500%  4/20/27 EUR        27,955      33,591
3 Republic of Austria  0.750%  2/20/28 EUR        17,045      20,786
3 Republic of Austria  0.500%  2/20/29 EUR       104,233     125,033
3 Republic of Austria  0.000%  2/20/30 EUR        18,192      20,895
3 Republic of Austria  0.000%  2/20/31 EUR        73,187      83,307
3 Republic of Austria  2.400%  5/23/34 EUR        15,412      22,495
3 Republic of Austria  5.375%  12/1/34 CAD         1,107       1,140
3 Republic of Austria  0.250% 10/20/36 EUR       107,692     121,131
3 Republic of Austria  0.000% 10/20/40 EUR        27,151      28,651
3 Republic of Austria  3.150%  6/20/44 EUR        34,258      62,595
84


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
3 Republic of Austria  1.500%  2/20/47 EUR        24,338      34,725
3 Republic of Austria  0.750%  3/20/51 EUR        17,045      20,604
3 Republic of Austria  3.800%  1/26/62 EUR         7,568      18,295
3 Republic of Austria  0.700%  4/20/71 EUR        20,000      22,167
3 Republic of Austria  1.500%  11/2/86 EUR        16,656      25,242
3 Republic of Austria  2.100%  9/20/17 EUR        16,462      31,531
3 Republic of Austria  0.850%  6/30/20 EUR        24,772      26,493
                   1,315,439
Belgium (1.8%)                              
  Kingdom of Belgium  2.250%  6/22/23 EUR        47,720      57,756
3 Kingdom of Belgium  2.600%  6/22/24 EUR        88,895     111,326
3 Kingdom of Belgium  0.500% 10/22/24 EUR        35,455      42,211
3 Kingdom of Belgium  0.800%  6/22/25 EUR       148,756     179,564
3,9 Kingdom of Belgium  1.000%  6/22/26 EUR       181,788     222,726
3 Kingdom of Belgium  0.800%  6/22/27 EUR        86,795     105,983
3 Kingdom of Belgium  0.000% 10/22/27 EUR       110,077     128,471
3,9 Kingdom of Belgium  0.900%  6/22/29 EUR       110,611     136,569
3 Kingdom of Belgium  0.100%  6/22/30 EUR       129,545     149,712
3 Kingdom of Belgium  1.000%  6/22/31 EUR        18,545      23,135
3 Kingdom of Belgium  0.000% 10/22/31 EUR       111,363     125,698
  Kingdom of Belgium  4.000%  3/28/32 EUR        27,490      44,208
3 Kingdom of Belgium  1.250%  4/22/33 EUR        23,863      30,632
3 Kingdom of Belgium  3.000%  6/22/34 EUR        86,434     132,559
3 Kingdom of Belgium  5.000%  3/28/35 EUR         3,020       5,608
3 Kingdom of Belgium  1.450%  6/22/37 EUR        11,741      15,498
3 Kingdom of Belgium  1.900%  6/22/38 EUR        86,346     121,457
3 Kingdom of Belgium  0.400%  6/22/40 EUR        85,392      94,748
  Kingdom of Belgium  3.750%  6/22/45 EUR        38,485      73,984
3 Kingdom of Belgium  1.600%  6/22/47 EUR        80,338     110,611
3 Kingdom of Belgium  1.700%  6/22/50 EUR        35,948      50,828
3 Kingdom of Belgium  2.250%  6/22/57 EUR        10,636      17,382
3 Kingdom of Belgium  2.150%  6/22/66 EUR         7,402      12,302
3 Kingdom of Belgium  0.650%  6/22/71 EUR        51,154      50,821
  Ministeries Van de Vlaamse Gemeenschap  0.375% 10/13/26 EUR         3,400       4,012
  Ministeries Van de Vlaamse Gemeenschap  1.000% 10/13/36 EUR         7,000       8,481
  Ministeries Van de Vlaamse Gemeenschap  1.500%  7/12/38 EUR         2,000       2,592
  Ministeries Van de Vlaamse Gemeenschap  1.875%   6/2/42 EUR         2,400       3,351
  Ministeries Van de Vlaamse Gemeenschap  1.500%  4/11/44 EUR         2,200       2,863
  Ministeries Van de Vlaamse Gemeenschap  1.000%  1/23/51 EUR        11,200      12,987
  Region Wallonne Belgium  0.500%   4/8/30 EUR         6,800       7,940
  Region Wallonne Belgium  1.250%   5/3/34 EUR        10,600      13,185
  Region Wallonne Belgium  0.650%  1/16/51 EUR         2,600       2,647
  Region Wallonne Belgium  1.250%  6/22/71 EUR         3,000       3,407
                   2,105,254
Britain (0.0%)                              
  United Kingdom Gilt  1.500%  7/31/53 GBP        22,890      34,905
Bulgaria (0.0%)                              
  Republic of Bulgaria  1.875%  3/21/23 EUR         4,091       4,859
  Republic of Bulgaria  2.950%   9/3/24 EUR           644         808
  Republic of Bulgaria  2.625%  3/26/27 EUR         2,045       2,658
  Republic of Bulgaria  3.000%  3/21/28 EUR        17,043      22,863
  Republic of Bulgaria  3.125%  3/26/35 EUR         3,409       4,892
  Republic of Bulgaria  1.375%  9/23/50 EUR         4,773       5,155
                   41,235
85


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
Canada (4.3%)                              
  British Columbia Municipal Finance Authority  2.600%  4/23/23 CAD         1,260       1,043
  British Columbia Municipal Finance Authority  2.800%  12/3/23 CAD         4,176       3,486
  British Columbia Municipal Finance Authority  2.150%   6/3/24 CAD         3,675       3,030
  British Columbia Municipal Finance Authority  2.950% 10/14/24 CAD         4,081       3,447
  British Columbia Municipal Finance Authority  1.100%   6/1/25 CAD         4,091       3,261
  British Columbia Municipal Finance Authority  2.650%  10/2/25 CAD         9,402       7,896
  British Columbia Municipal Finance Authority  2.500%  4/19/26 CAD           262         219
  British Columbia Municipal Finance Authority  1.350%  6/30/26 CAD         1,000         794
  British Columbia Municipal Finance Authority  3.050% 10/23/28 CAD         5,195       4,460
  British Columbia Municipal Finance Authority  2.550%  10/9/29 CAD           814         677
  British Columbia Municipal Finance Authority  2.300%  4/15/31 CAD         2,500       2,032
  Canada  0.250%  11/1/22 CAD        91,891      73,867
  Canada  0.250%   2/1/23 CAD       121,516      97,436
  Canada  1.750%   3/1/23 CAD        18,746      15,319
  Canada  0.250%   5/1/23 CAD        83,001      66,385
  Canada  1.500%   6/1/23 CAD        18,964      15,459
  Canada  8.000%   6/1/23 CAD           750         673
  Canada  0.250%   8/1/23 CAD        82,980      66,171
  Canada  2.000%   9/1/23 CAD        23,935      19,674
  Canada  2.250%   3/1/24 CAD        32,035      26,555
  Canada  2.500%   6/1/24 CAD        14,305      11,955
  Canada  1.500%   9/1/24 CAD       109,714      89,386
  Canada  9.000%   6/1/25 CAD         8,181       8,391
  Canada  0.500%   9/1/25 CAD        25,836      20,218
  Canada  0.250%   3/1/26 CAD       111,187      85,457
  Canada  1.500%   6/1/26 CAD         3,750       3,041
  Canada  1.000%   9/1/26 CAD        69,200      54,679
  Canada  1.000%   6/1/27 CAD         2,740       2,154
  Canada  8.000%   6/1/27 CAD         3,478       3,783
  Canada  5.750%   6/1/29 CAD        27,534      28,849
  Canada  1.250%   6/1/30 CAD        93,650      73,401
  Canada  0.500%  12/1/30 CAD        98,212      71,620
  Canada  1.500%   6/1/31 CAD       152,520     121,131
  Canada  5.750%   6/1/33 CAD        72,171      82,400
  Canada  5.000%   6/1/37 CAD        41,120      47,210
  Canada  4.000%   6/1/41 CAD        34,892      37,641
  Canada  3.500%  12/1/45 CAD        13,417      13,985
  Canada  2.750%  12/1/48 CAD        16,576      15,531
  Canada  2.000%  12/1/51 CAD       130,180     105,314
  Canada  1.750%  12/1/53 CAD        35,600      27,002
  Canada  2.750%  12/1/64 CAD        26,041      25,069
3 Canada Housing Trust No. 1  2.400% 12/15/22 CAD        61,450      50,571
3 Canada Housing Trust No. 1  2.350%  6/15/23 CAD        41,085      33,983
3 Canada Housing Trust No. 1  2.350%  9/15/23 CAD        45,440      37,826
3 Canada Housing Trust No. 1  3.150%  9/15/23 CAD        14,500      12,244
3 Canada Housing Trust No. 1  2.550% 12/15/23 CAD        38,040      31,633
3 Canada Housing Trust No. 1  2.900%  6/15/24 CAD        61,685      51,763
3 Canada Housing Trust No. 1  1.800% 12/15/24 CAD        38,240      31,113
3 Canada Housing Trust No. 1  2.550%  3/15/25 CAD        31,570      26,619
3 Canada Housing Trust No. 1  0.950%  6/15/25 CAD        57,145      45,560
3 Canada Housing Trust No. 1  1.950% 12/15/25 CAD        50,865      42,046
3 Canada Housing Trust No. 1  2.250% 12/15/25 CAD        14,810      12,385
3 Canada Housing Trust No. 1  1.250%  6/15/26 CAD        27,730      22,051
3 Canada Housing Trust No. 1  1.900%  9/15/26 CAD        21,730      17,774
86


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
3 Canada Housing Trust No. 1  1.100% 12/15/26 CAD        20,000      15,780
3 Canada Housing Trust No. 1  2.350%  6/15/27 CAD        17,110      14,243
3 Canada Housing Trust No. 1  2.350%  3/15/28 CAD        14,270      11,917
3 Canada Housing Trust No. 1  2.650%  3/15/28 CAD        39,490      33,553
3 Canada Housing Trust No. 1  2.650% 12/15/28 CAD        17,130      14,539
3 Canada Housing Trust No. 1  2.100%  9/15/29 CAD        25,805      21,095
3 Canada Housing Trust No. 1  1.750%  6/15/30 CAD        40,410      32,012
3 Canada Housing Trust No. 1  1.100%  3/15/31 CAD        13,110       9,772
3 Canada Housing Trust No. 1  1.400%  3/15/31 CAD        19,395      14,856
3 Canada Housing Trust No. 1  1.900%  3/15/31 CAD        14,090      11,338
3 Canada Housing Trust No. 1  1.600% 12/15/31 CAD        14,900      11,655
  Canada Post Corp.  4.080%  7/16/25 CAD         6,073       5,346
  Canada Post Corp.  4.360%  7/16/40 CAD         2,488       2,567
  CPPIB Capital Inc.  0.375%  7/25/23 GBP         2,523       3,425
  CPPIB Capital Inc.  0.375%  6/20/24 EUR        23,184      27,150
  CPPIB Capital Inc.  0.250%   4/6/27 EUR        10,500      12,213
  CPPIB Capital Inc.  3.000%  6/15/28 CAD         5,434       4,684
  CPPIB Capital Inc.  0.875%   2/6/29 EUR         6,068       7,320
  CPPIB Capital Inc.  1.950%  9/30/29 CAD         8,459       6,763
  CPPIB Capital Inc.  1.500%   3/4/33 EUR        10,397      13,323
  CPPIB Capital Inc.  0.250%  1/18/41 EUR         6,000       6,398
  CPPIB Capital Inc.  0.750%  7/15/49 EUR         3,136       3,699
  Export Development Canada  2.800%  5/31/23 AUD         4,770       3,692
  Export Development Canada  1.375%  12/8/23 GBP         6,818       9,420
  Export Development Canada  1.650%  7/31/24 CAD         2,840       2,317
  Financement-Quebec  5.250%   6/1/34 CAD         5,782       6,015
  First Nations Finance Authority  3.050%   6/1/28 CAD           706         601
  First Nations Finance Authority  1.710%  6/16/30 CAD         2,281       1,774
  Government of the Northwest Territories  2.200%  9/29/51 CAD           681         476
  Greater Sudbury Canada  2.416%  3/12/50 CAD           593         436
  Hydro-Quebec  6.000%  8/15/31 CAD         6,334       6,768
  Hydro-Quebec  6.500%  1/16/35 CAD         2,833       3,287
  Hydro-Quebec  6.500%  2/15/35 CAD        15,341      17,964
  Hydro-Quebec  6.000%  2/15/40 CAD        14,942      18,009
  Hydro-Quebec  5.000%  2/15/45 CAD        19,207      21,499
  Hydro-Quebec  5.000%  2/15/50 CAD        28,790      34,391
  Hydro-Quebec  4.000%  2/15/55 CAD        28,138      29,007
  Hydro-Quebec  2.100%  2/15/60 CAD        19,506      13,253
3 Labrador-Island Link Funding Trust  3.760%   6/1/33 CAD         5,760       5,333
3 Labrador-Island Link Funding Trust  3.860%  12/1/45 CAD         2,584       2,553
3 Labrador-Island Link Funding Trust  3.850%  12/1/53 CAD         3,233       3,301
  Maritime Link Financing Trust  3.500%  12/1/52 CAD         4,945       4,426
  Montreal  3.500%   9/1/23 CAD         5,079       4,272
  Montreal  3.500%   9/1/24 CAD           150         128
  Montreal  3.000%   9/1/25 CAD         4,773       4,042
  Montreal  3.000%   9/1/27 CAD         3,409       2,906
  Montreal  3.150%   9/1/28 CAD         2,079       1,784
  Montreal  2.300%   9/1/29 CAD         1,562       1,268
  Montreal  1.750%   9/1/30 CAD         1,841       1,420
  Montreal  2.000%   9/1/31 CAD         4,600       3,575
  Montreal  4.100%  12/1/34 CAD         2,178       2,042
  Montreal  3.150%  12/1/36 CAD         4,081       3,435
  Montreal  3.500%  12/1/38 CAD         4,091       3,619
  Montreal  2.400%  12/1/41 CAD         3,709       2,798
  Montreal  6.000%   6/1/43 CAD         2,766       3,311
87


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Municipal Finance Authority of British Columbia  2.500%  9/27/41 CAD         1,400       1,116
3 Muskrat Falls / Labrador Transmission Assets Funding Trust  3.630%   6/1/29 CAD         3,614       3,247
3 Muskrat Falls / Labrador Transmission Assets Funding Trust  3.830%   6/1/37 CAD         1,548       1,481
3 Muskrat Falls / Labrador Transmission Assets Funding Trust  3.860%  12/1/48 CAD         4,957       4,931
  New Brunswick F-M Project Co. Inc.  6.470% 11/30/27 CAD           723         657
  Newfoundland & Labrador Hydro  6.650%  8/27/31 CAD         1,363       1,481
  Newfoundland & Labrador Hydro  3.600%  12/1/45 CAD         2,045       1,776
  OMERS Finance Trust  0.450%  5/13/25 EUR         9,205      10,747
  OMERS Finance Trust  1.550%  4/21/27 CAD         4,159       3,300
  OMERS Finance Trust  2.600%  5/14/29 CAD         2,045       1,697
3 OMERS Finance Trust  2.600%  5/14/29 CAD         1,833       1,521
  Ontario Electricity Financial Corp.  8.250%  6/22/26 CAD         9,568       9,973
  Ontario Infrastructure & Lands Corp.  4.700%   6/1/37 CAD         1,223       1,218
  Ontario School Boards Financing Corp.  5.483% 11/26/29 CAD           166         152
  Ontario Teachers Finance Trust  0.500%   5/6/25 EUR        26,761      31,440
  Ontario Teachers Finance Trust  0.900%  5/20/41 EUR         5,000       5,846
  OPB Finance Trust  2.950%   2/2/26 CAD        19,773      16,743
  OPB Finance Trust  2.980%  1/25/27 CAD         3,399       2,870
  Ottawa Ontario  4.600%  7/14/42 CAD         1,296       1,317
  Ottawa Ontario  3.250% 11/10/47 CAD         1,213       1,034
  Ottawa Ontario  3.100%  7/27/48 CAD         2,145       1,762
  Ottawa Ontario  2.500%  5/11/51 CAD         1,673       1,238
  Ottawa Ontario  4.200%  7/30/53 CAD           982         995
  Province of Alberta  2.550% 12/15/22 CAD         6,101       5,039
  Province of Alberta  2.650%   9/1/23 CAD         7,499       6,238
  Province of Alberta  3.400%  12/1/23 CAD         2,045       1,730
  Province of Alberta  3.100%   6/1/24 CAD        12,041      10,170
  Province of Alberta  0.625%  4/18/25 EUR         7,228       8,526
  Province of Alberta  2.350%   6/1/25 CAD        17,659      14,667
  Province of Alberta  0.625%  1/16/26 EUR         3,478       4,111
  Province of Alberta  2.200%   6/1/26 CAD        13,637      11,242
  Province of Alberta  3.100% 12/14/26 AUD         1,432       1,127
  Province of Alberta  2.550%   6/1/27 CAD        18,068      15,101
  Province of Alberta  3.600%  4/11/28 AUD           435         347
  Province of Alberta  2.900%  12/1/28 CAD        16,817      14,330
  Province of Alberta  2.900%  9/20/29 CAD         8,523       7,267
  Province of Alberta  2.050%   6/1/30 CAD        31,074      24,769
  Province of Alberta  1.650%   6/1/31 CAD        16,848      12,997
  Province of Alberta  3.500%   6/1/31 CAD         3,136       2,822
  Province of Alberta  3.900%  12/1/33 CAD         4,824       4,463
  Province of Alberta  4.500%  12/1/40 CAD         3,409       3,475
  Province of Alberta  3.450%  12/1/43 CAD        13,005      11,602
  Province of Alberta  3.300%  12/1/46 CAD        20,908      18,287
  Province of Alberta  3.050%  12/1/48 CAD        28,935      24,358
  Province of Alberta  3.100%   6/1/50 CAD        36,387      31,127
  Province of Alberta  2.950%   6/1/52 CAD         8,200       6,928
  Province of British Columbia  2.700% 12/18/22 CAD         5,728       4,740
  Province of British Columbia  3.300% 12/18/23 CAD         9,528       8,060
  Province of British Columbia  4.250% 11/27/24 AUD         2,380       1,924
  Province of British Columbia  2.850%  6/18/25 CAD        18,717      15,847
  Province of British Columbia  2.300%  6/18/26 CAD        10,227       8,496
  Province of British Columbia  2.550%  6/18/27 CAD        15,801      13,265
88


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Province of British Columbia  2.950% 12/18/28 CAD        11,835      10,165
  Province of British Columbia  5.700%  6/18/29 CAD         9,255       9,384
  Province of British Columbia  2.200%  6/18/30 CAD        19,680      15,987
  Province of British Columbia  1.550%  6/18/31 CAD         4,200       3,220
  Province of British Columbia  6.350%  6/18/31 CAD        10,227      11,241
  Province of British Columbia  4.700%  6/18/37 CAD         4,746       4,895
  Province of British Columbia  4.950%  6/18/40 CAD         8,523       9,211
  Province of British Columbia  4.300%  6/18/42 CAD        15,548      15,816
  Province of British Columbia  3.200%  6/18/44 CAD        16,728      14,658
  Province of British Columbia  2.800%  6/18/48 CAD        20,090      16,570
  Province of British Columbia  4.900%  6/18/48 CAD         2,045       2,356
  Province of British Columbia  2.950%  6/18/50 CAD        30,666      26,198
  Province of British Columbia  2.750%  6/18/52 CAD         8,400       7,023
  Province of Manitoba  2.550%   6/2/23 CAD        10,230       8,458
  Province of Manitoba  3.300%   6/2/24 CAD         2,045       1,733
  Province of Manitoba  4.250%   3/3/25 AUD           681         552
  Province of Manitoba  2.450%   6/2/25 CAD        12,160      10,129
  Province of Manitoba  4.400%   9/5/25 CAD         4,636       4,132
  Province of Manitoba  2.550%   6/2/26 CAD        12,955      10,843
  Province of Manitoba  2.600%   6/2/27 CAD        10,363       8,691
  Province of Manitoba  3.000%   6/2/28 CAD         2,645       2,268
  Province of Manitoba  2.750%   6/2/29 CAD         4,372       3,692
  Province of Manitoba  3.250%   9/5/29 CAD         1,548       1,349
  Province of Manitoba  2.050%   6/2/30 CAD         8,200       6,571
  Province of Manitoba  6.300%   3/5/31 CAD           651         702
  Province of Manitoba  2.050%   6/2/31 CAD         7,204       5,701
  Province of Manitoba  5.700%   3/5/37 CAD         2,045       2,299
  Province of Manitoba  4.600%   3/5/38 CAD         3,869       3,915
  Province of Manitoba  4.650%   3/5/40 CAD         2,727       2,802
  Province of Manitoba  4.100%   3/5/41 CAD         3,409       3,305
  Province of Manitoba  4.400%   3/5/42 CAD         4,431       4,473
  Province of Manitoba  3.350%   3/5/43 CAD         1,363       1,198
  Province of Manitoba  4.050%   9/5/45 CAD         4,769       4,675
  Province of Manitoba  2.850%   9/5/46 CAD         7,036       5,723
  Province of Manitoba  3.400%   9/5/48 CAD        10,261       9,222
  Province of Manitoba  3.200%   3/5/50 CAD        11,362       9,924
  Province of Manitoba  4.700%   3/5/50 CAD         1,115       1,222
  Province of Manitoba  2.050%   9/5/52 CAD         4,742       3,330
  Province of Manitoba  3.150%   9/5/52 CAD         4,162       3,593
  Province of Manitoba  3.450%   3/5/63 CAD         2,453       2,370
  Province of New Brunswick  2.850%   6/2/23 CAD         6,818       5,662
  Province of New Brunswick  3.650%   6/3/24 CAD         7,499       6,407
  Province of New Brunswick  2.600%  8/14/26 CAD         6,818       5,718
  Province of New Brunswick  2.350%  8/14/27 CAD         5,386       4,453
  Province of New Brunswick  3.100%  8/14/28 CAD         5,628       4,851
  Province of New Brunswick  5.500%  1/27/34 CAD         2,727       2,910
  Province of New Brunswick  4.550%  3/26/37 CAD         4,773       4,763
  Province of New Brunswick  4.800%  9/26/39 CAD         1,650       1,714
  Province of New Brunswick  4.800%   6/3/41 CAD         2,038       2,145
  Province of New Brunswick  3.550%   6/3/43 CAD         3,954       3,560
  Province of New Brunswick  3.800%  8/14/45 CAD         4,951       4,646
  Province of New Brunswick  3.100%  8/14/48 CAD        11,236       9,493
  Province of New Brunswick  3.050%  8/14/50 CAD         7,657       6,447
  Province of Newfoundland and Labrador  2.300%   6/2/25 CAD         3,409       2,820
  Province of Newfoundland and Labrador  3.000%   6/2/26 CAD         6,818       5,800
89


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Province of Newfoundland and Labrador  6.150%  4/17/28 CAD           681         680
  Province of Newfoundland and Labrador  2.850%   6/2/28 CAD        10,227       8,635
  Province of Newfoundland and Labrador  2.850%   6/2/29 CAD         3,000       2,530
  Province of Newfoundland and Labrador  1.750%   6/2/30 CAD         7,463       5,740
  Province of Newfoundland and Labrador  5.700% 10/17/35 CAD           681         731
  Province of Newfoundland and Labrador  4.650% 10/17/40 CAD         2,434       2,417
  Province of Newfoundland and Labrador  3.300% 10/17/46 CAD        10,367       8,625
  Province of Newfoundland and Labrador  3.700% 10/17/48 CAD         7,434       6,590
  Province of Newfoundland and Labrador  2.650% 10/17/50 CAD         7,688       5,632
  Province of Nova Scotia  2.100%   6/1/27 CAD         9,816       8,040
  Province of Nova Scotia  2.000%   9/1/30 CAD         9,068       7,195
  Province of Nova Scotia  6.600%  12/1/31 CAD            45          50
  Province of Nova Scotia  5.800%   6/1/33 CAD         1,363       1,469
  Province of Nova Scotia  4.500%   6/1/37 CAD         3,409       3,397
  Province of Nova Scotia  4.700%   6/1/41 CAD         3,409       3,562
  Province of Nova Scotia  4.400%   6/1/42 CAD         4,091       4,147
  Province of Nova Scotia  3.450%   6/1/45 CAD         2,045       1,835
  Province of Nova Scotia  3.150%  12/1/51 CAD         8,012       6,973
  Province of Nova Scotia  3.500%   6/2/62 CAD         5,741       5,398
  Province of Ontario  1.950%  1/27/23 CAD         5,727       4,683
  Province of Ontario  2.850%   6/2/23 CAD        52,602      43,704
  Province of Ontario  2.600%   9/8/23 CAD        19,075      15,857
  Province of Ontario  7.500%   2/7/24 CAD         1,752       1,610
  Province of Ontario  1.875%  5/21/24 EUR         3,409       4,147
  Province of Ontario  3.500%   6/2/24 CAD        50,390      42,927
  Province of Ontario  0.375%  6/14/24 EUR        16,500      19,329
  Province of Ontario  4.250%  8/22/24 AUD           680         547
  Province of Ontario  2.300%   9/8/24 CAD        14,046      11,651
  Province of Ontario  0.875%  1/21/25 EUR         3,409       4,062
  Province of Ontario  2.650%   2/5/25 CAD        22,568      18,929
  Province of Ontario  0.625%  4/17/25 EUR        11,000      12,989
  Province of Ontario  2.600%   6/2/25 CAD        57,017      47,784
  Province of Ontario  3.100%  8/26/25 AUD         1,365       1,071
  Province of Ontario  1.750%   9/8/25 CAD        36,000      29,275
  Province of Ontario  2.400%   6/2/26 CAD        30,191      25,162
  Province of Ontario  1.350%   9/8/26 CAD         8,600       6,833
  Province of Ontario  3.500%  1/27/27 AUD           680         541
  Province of Ontario  1.850%   2/1/27 CAD        12,529      10,164
  Province of Ontario  0.375%   4/8/27 EUR         1,296       1,514
  Province of Ontario  2.600%   6/2/27 CAD        50,795      42,625
  Province of Ontario  7.600%   6/2/27 CAD        10,227      10,724
  Province of Ontario  1.050%   9/8/27 CAD         3,000       2,314
  Province of Ontario  2.900%   6/2/28 CAD        45,636      38,953
  Province of Ontario  6.500%   3/8/29 CAD        11,291      11,899
  Province of Ontario  2.700%   6/2/29 CAD        37,565      31,651
  Province of Ontario  1.550%  11/1/29 CAD        11,200       8,690
  Province of Ontario  2.050%   6/2/30 CAD        55,775      44,770
  Province of Ontario  0.010% 11/25/30 EUR        30,300      33,699
  Province of Ontario  1.350%  12/2/30 CAD        31,633      23,836
  Province of Ontario  2.150%   6/2/31 CAD        34,375      27,615
  Province of Ontario  6.200%   6/2/31 CAD         8,863       9,626
  Province of Ontario  5.850%   3/8/33 CAD        18,375      19,923
  Province of Ontario  5.600%   6/2/35 CAD        26,591      29,033
  Province of Ontario  4.700%   6/2/37 CAD        34,909      35,726
  Province of Ontario  4.600%   6/2/39 CAD        51,177      52,378
90


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Province of Ontario  4.650%   6/2/41 CAD        49,210      51,415
  Province of Ontario  3.500%   6/2/43 CAD        43,193      39,224
  Province of Ontario  3.450%   6/2/45 CAD        66,147      59,714
  Province of Ontario  2.900%  12/2/46 CAD        63,172      52,238
  Province of Ontario  2.800%   6/2/48 CAD        52,650      42,859
  Province of Ontario  2.900%   6/2/49 CAD        54,307      45,082
  Province of Ontario  2.650%  12/2/50 CAD        54,850      43,500
  Province of Ontario  1.900%  12/2/51 CAD        60,248      40,215
  Province of Ontario  2.550%  12/2/52 CAD         8,950       7,087
  Province of Prince Edward Island  3.650%  6/27/42 CAD         1,091         981
  Province of Prince Edward Island  2.650%  12/1/51 CAD         1,336       1,034
  Province of Prince Edward Island  3.600%  1/17/53 CAD         2,041       1,870
  Province of Quebec  3.500%  12/1/22 CAD        26,127      21,786
  Province of Quebec  9.375%  1/16/23 CAD         2,045       1,822
  Province of Quebec  2.450%   3/1/23 CAD         5,514       4,543
  Province of Quebec  2.250%  7/17/23 EUR         9,205      11,101
  Province of Quebec  3.000%   9/1/23 CAD        23,836      19,965
  Province of Quebec  1.500% 12/15/23 GBP         5,455       7,548
  Province of Quebec  2.375%  1/22/24 EUR           681         833
  Province of Quebec  2.250%  2/22/24 CAD         3,545       2,937
  Province of Quebec  3.750%   9/1/24 CAD        26,352      22,731
  Province of Quebec  0.875%  1/15/25 EUR         7,704       9,169
  Province of Quebec  4.200%  3/10/25 AUD         1,027         833
  Province of Quebec  5.350%   6/1/25 CAD         3,409       3,115
  Province of Quebec  2.600%   7/6/25 CAD         4,115       3,455
  Province of Quebec  2.750%   9/1/25 CAD        27,972      23,674
  Province of Quebec  8.500%   4/1/26 CAD         6,818       7,082
  Province of Quebec  3.700%  5/20/26 AUD           564         454
  Province of Quebec  2.500%   9/1/26 CAD        25,568      21,470
  Province of Quebec  1.850%  2/13/27 CAD         4,831       3,931
  Province of Quebec  0.875%   5/4/27 EUR        23,795      28,596
  Province of Quebec  2.750%   9/1/27 CAD        28,758      24,361
  Province of Quebec  0.875%   7/5/28 EUR        28,275      34,009
  Province of Quebec  2.750%   9/1/28 CAD        31,118      26,383
  Province of Quebec  2.300%   9/1/29 CAD        24,206      19,889
  Province of Quebec  6.000%  10/1/29 CAD        10,227      10,586
  Province of Quebec  1.900%   9/1/30 CAD        45,612      36,085
  Province of Quebec  0.000% 10/29/30 EUR        22,499      25,007
  Province of Quebec  1.500%   9/1/31 CAD        25,700      19,590
  Province of Quebec  6.250%   6/1/32 CAD        14,706      16,365
  Province of Quebec  5.750%  12/1/36 CAD        13,536      15,294
  Province of Quebec  5.000%  12/1/38 CAD        23,572      25,218
  Province of Quebec  5.000%  12/1/41 CAD        35,039      38,457
  Province of Quebec  4.250%  12/1/43 CAD        30,289      30,760
  Province of Quebec  3.500%  12/1/45 CAD        42,903      39,363
  Province of Quebec  3.500%  12/1/48 CAD        52,693      48,933
  Province of Quebec  3.100%  12/1/51 CAD        55,863      48,936
  Province of Quebec  2.850%  12/1/53 CAD        14,700      12,431
  Province of Saskatchewan  3.200%   6/3/24 CAD         6,477       5,475
  Province of Saskatchewan  0.800%   9/2/25 CAD         5,113       4,017
  Province of Saskatchewan  2.550%   6/2/26 CAD         4,687       3,924
  Province of Saskatchewan  2.650%   6/2/27 CAD         6,818       5,732
  Province of Saskatchewan  3.050%  12/2/28 CAD         5,087       4,373
  Province of Saskatchewan  5.750%   3/5/29 CAD         4,091       4,111
  Province of Saskatchewan  2.200%   6/2/30 CAD         6,041       4,894
91


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Province of Saskatchewan  2.150%   6/2/31 CAD         1,694       1,358
  Province of Saskatchewan  5.000%   3/5/37 CAD           240         252
  Province of Saskatchewan  4.750%   6/1/40 CAD         5,046       5,275
  Province of Saskatchewan  3.400%   2/3/42 CAD         3,409       3,031
  Province of Saskatchewan  3.900%   6/2/45 CAD         5,591       5,371
  Province of Saskatchewan  2.750%  12/2/46 CAD         8,152       6,510
  Province of Saskatchewan  3.300%   6/2/48 CAD        11,537      10,186
  Province of Saskatchewan  3.100%   6/2/50 CAD        11,829      10,163
  Province of Saskatchewan  2.800%  12/2/52 CAD         3,400       2,779
  Province of Saskatchewan  3.750%   3/5/54 CAD         2,587       2,504
  Province of Saskatchewan  2.950%   6/2/58 CAD         1,909       1,583
  PSP Capital Inc.  2.090% 11/22/23 CAD         2,727       2,248
  PSP Capital Inc.  3.290%   4/4/24 CAD        13,517      11,430
  PSP Capital Inc.  3.000%  11/5/25 CAD         4,209       3,595
  PSP Capital Inc.  2.050%  1/15/30 CAD         9,409       7,615
  Regional Municipality of Peel Ontario  5.100%  6/29/40 CAD         4,759       5,043
  Regional Municipality of Peel Ontario  2.500%  6/16/51 CAD         1,000         749
  Regional Municipality of York  2.600% 12/15/25 CAD         3,409       2,849
  Regional Municipality of York  2.500%   6/2/26 CAD         2,045       1,707
  Regional Municipality of York  2.350%   6/9/27 CAD             3           2
  Regional Municipality of York  1.700%  5/27/30 CAD         2,021       1,564
  Regional Municipality of York  2.150%  6/22/31 CAD         1,800       1,430
  Regional Municipality of York  4.000%  5/31/32 CAD         1,023         936
  Regional Municipality of York  3.650%  5/13/33 CAD         2,114       1,901
  Regional Municipality of York  4.050%   5/1/34 CAD         1,636       1,509
  Royal Office Finance LP  5.209% 11/12/37 CAD         4,872       4,704
  South Coast British Columbia Transportation Authority  3.050%   6/4/25 CAD         4,200       3,536
  South Coast British Columbia Transportation Authority  3.150% 11/16/48 CAD         6,405       5,307
  South Coast British Columbia Transportation Authority  2.650% 10/29/50 CAD           675         522
  TCHC Issuer Trust  5.395%  2/22/40 CAD         1,417       1,536
  Toronto Canada  3.900%  9/29/23 CAD         3,226       2,731
  Toronto Canada  2.450%   2/6/25 CAD         3,221       2,672
  Toronto Canada  2.400%   6/7/27 CAD         3,457       2,873
  Toronto Canada  2.650%  11/9/29 CAD         2,900       2,422
  Toronto Canada  2.950%  4/28/35 CAD         4,261       3,535
  Toronto Canada  5.200%   6/1/40 CAD           831         888
  Toronto Canada  2.150%  8/25/40 CAD         1,551       1,138
  Toronto Canada  4.700%  6/10/41 CAD         1,363       1,406
  Toronto Canada  3.800% 12/13/42 CAD           483         447
  Toronto Canada  4.150%  3/10/44 CAD         3,362       3,268
  Toronto Canada  3.250%  6/24/46 CAD         2,727       2,313
  Toronto Canada  3.200%   8/1/48 CAD         1,240       1,058
  Toronto Canada  2.800% 11/22/49 CAD         3,744       2,923
  Toronto Canada  2.900%  4/29/51 CAD         1,500       1,208
  Vancouver Canada  3.700% 10/18/52 CAD           873         799
  Winnipeg Canada  4.100%   6/1/45 CAD           681         641
  Winnipeg Canada  4.300% 11/15/51 CAD         2,835       2,841
                   5,033,723
Chile (0.0%)                              
  Republic of Chile  1.625%  1/30/25 EUR         3,832       4,646
  Republic of Chile  1.750%  1/20/26 EUR           100         123
  Republic of Chile  0.100%  1/26/27 EUR         8,000       9,015
92


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Chile  1.440%   2/1/29 EUR         3,068       3,706
  Republic of Chile  0.830%   7/2/31 EUR         7,529       8,599
  Republic of Chile  1.300%  7/26/36 EUR         5,400       6,017
  Republic of Chile  1.250%  1/29/40 EUR         6,546       7,190
  Republic of Chile  1.250%  1/22/51 EUR         7,999       8,077
                   47,373
China (0.9%)                              
  Agricultural Development Bank of China  3.060%   8/5/23 CNY       100,000      15,714
  Agricultural Development Bank of China  4.000% 11/12/25 CNY       339,900      54,862
  Agricultural Development Bank of China  3.630%  7/19/26 CNY        50,000       7,966
  Agricultural Development Bank of China  3.750%  1/25/29 CNY       375,200      60,362
  China Development Bank  0.625% 12/12/22 EUR         2,318       2,695
  China Development Bank  1.860%   4/9/23 CNY        50,000       7,739
  China Development Bank  0.875%  1/24/24 EUR         1,091       1,279
  China Development Bank  3.300%   2/1/24 CNY       299,900      47,460
  China Development Bank  3.340%  7/14/25 CNY        30,000       4,746
  China Development Bank  3.680%  2/26/26 CNY       391,800      62,707
  China Development Bank  3.500%  8/13/26 CNY       375,300      59,646
  China Development Bank  3.430%  1/14/27 CNY       250,000      39,569
  China Development Bank  3.390%  7/10/27 CNY       100,000      15,743
  China Development Bank  3.400%   1/8/28 CNY       100,000      15,737
  China Development Bank  3.450%  9/20/29 CNY        50,000       7,867
  China Development Bank  3.660%   3/1/31 CNY        60,000       9,607
  China Development Bank  3.410%   6/7/31 CNY       150,000      23,604
  China Development Bank  4.010%   1/9/37 CNY       174,900      28,743
  China Government Bond  2.240%   3/5/23 CNY        50,000       7,795
  China Government Bond  2.360%   7/2/23 CNY        50,000       7,795
  China Government Bond  3.290% 10/18/23 CNY       429,800      68,066
  China Government Bond  2.880%  11/5/23 CNY        50,000       7,857
  China Government Bond  3.220%  12/6/25 CNY       243,600      38,713
  China Government Bond  3.250%   6/6/26 CNY       522,800      83,202
  China Government Bond  2.740%   8/4/26 CNY        85,000      13,231
  China Government Bond  3.120%  12/5/26 CNY       100,000      15,818
  China Government Bond  2.850%   6/4/27 CNY       150,000      23,363
  China Government Bond  3.010%  5/13/28 CNY        80,000      12,520
  China Government Bond  2.680%  5/21/30 CNY        20,000       3,055
  China Government Bond  3.020%  5/27/31 CNY        50,000       7,844
  China Government Bond  0.500% 11/12/31 EUR         7,626       8,621
  China Government Bond  0.625% 11/25/35 EUR         6,818       7,583
  China Government Bond  1.000% 11/12/39 EUR         6,613       7,426
  China Government Bond  3.970%  7/23/48 CNY       250,000      42,121
  China Government Bond  4.080% 10/22/48 CNY        40,000       6,856
  China Government Bond  3.860%  7/22/49 CNY       355,200      58,704
  China Government Bond  3.390%  3/16/50 CNY       100,000      15,205
  Export-Import Bank of China  0.750%  5/28/23 EUR         2,182       2,551
  Export-Import Bank of China  3.280%  2/11/24 CNY       414,800      65,513
  Export-Import Bank of China  3.260%  2/24/27 CNY       140,000      21,914
  Export-Import Bank of China  3.860%  5/20/29 CNY        50,000       8,075
  Export-Import Bank of China  3.230%  3/23/30 CNY        55,000       8,506
                   1,008,380
Colombia (0.2%)                              
  Colombian TES 10.000%  7/24/24 COP   102,170,000      29,675
  Colombian TES  6.250% 11/26/25 COP    88,070,000      22,862
  Colombian TES  7.500%  8/26/26 COP   109,275,000      29,371
  Colombian TES  5.750%  11/3/27 COP    82,310,000      20,037
93


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Colombian TES  6.000%  4/28/28 COP   117,605,000      28,621
  Colombian TES  7.750%  9/18/30 COP    88,110,000      23,166
  Colombian TES  7.000%  3/26/31 COP    45,000,000      11,159
  Colombian TES  7.000%  6/30/32 COP   117,300,000      28,612
  Colombian TES  7.250% 10/18/34 COP   133,945,000      32,813
  Colombian TES  7.250% 10/26/50 COP    60,000,000      13,719
                   240,035
Croatia (0.1%)                              
  Republic of Croatia  3.000%  3/11/25 EUR         1,363       1,727
  Republic of Croatia  3.000%  3/20/27 EUR         4,773       6,270
  Republic of Croatia  2.700%  6/15/28 EUR         3,954       5,195
  Republic of Croatia  1.125%  6/19/29 EUR         4,773       5,657
  Republic of Croatia  2.750%  1/27/30 EUR         4,773       6,341
  Republic of Croatia  1.500%  6/17/31 EUR        29,772      35,788
  Republic of Croatia  1.750%   3/4/41 EUR         6,776       7,963
                   68,941
Czech Republic (0.3%)                              
  Czech Republic  0.450% 10/25/23 CZK     1,055,010      45,387
  Czech Republic  5.700%  5/25/24 CZK       150,000       7,234
  Czech Republic  0.000% 12/12/24 CZK       720,010      29,829
  Czech Republic  2.400%  9/17/25 CZK       170,450       7,568
  Czech Republic  1.000%  6/26/26 CZK     1,264,630      52,565
  Czech Republic  0.250%  2/10/27 CZK       336,110      13,277
  Czech Republic  2.500%  8/25/28 CZK       252,270      11,149
  Czech Republic  2.750%  7/23/29 CZK       469,320      21,118
  Czech Republic  0.950%  5/15/30 CZK     1,084,770      42,305
  Czech Republic  1.200%  3/13/31 CZK       732,920      28,917
  Czech Republic  2.000% 10/13/33 CZK       253,970      10,625
  Czech Republic  4.200%  12/4/36 CZK       390,360      20,850
  Czech Republic  1.500%  4/24/40 CZK       336,220      12,549
  Czech Republic  4.850% 11/26/57 CZK        62,040       3,881
                   307,254
Denmark (0.5%)                              
  Kingdom of Denmark  1.500% 11/15/23 DKK       165,371      26,765
  Kingdom of Denmark  7.000% 11/10/24 DKK        50,649       9,655
  Kingdom of Denmark  1.750% 11/15/25 DKK       461,793      77,808
  Kingdom of Denmark  0.500% 11/15/27 DKK       518,861      83,718
3 Kingdom of Denmark  0.500% 11/15/29 DKK       785,906     127,097
3 Kingdom of Denmark  0.000% 11/15/31 DKK       590,000      90,381
  Kingdom of Denmark  4.500% 11/15/39 DKK       509,882     140,323
3 Kingdom of Denmark  0.250% 11/15/52 DKK        67,045      10,088
  Kommunekredit  0.250%  3/29/23 EUR           681         794
  Kommunekredit  0.250%  5/15/23 EUR           483         564
  Kommunekredit  0.250%  2/16/24 EUR         1,363       1,593
  Kommunekredit  0.625%  5/11/26 EUR         3,000       3,572
  Kommunekredit  2.900% 11/27/26 AUD         2,848       2,228
  Kommunekredit  0.750%  5/18/27 EUR        17,439      20,921
  State of Hesse  0.010%  3/11/30 EUR         8,900      10,162
                   605,669
Finland (0.5%)                              
  Finnvera OYJ  0.500%  4/13/26 EUR         4,431       5,238
  Finnvera OYJ  0.375%   4/9/29 EUR        10,227      12,008
  Kuntarahoitus OYJ  0.050%  9/10/35 EUR         9,100      10,050
  Municipality Finance plc  5.000%  3/20/24 AUD         2,796       2,271
94


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Municipality Finance plc  0.625% 11/26/26 EUR         3,409       4,076
  Municipality Finance plc  1.250%  2/23/33 EUR         6,818       8,712
3 Republic of Finland  1.500%  4/15/23 EUR        23,959      28,571
3 Republic of Finland  0.000%  9/15/23 EUR        23,011      26,882
3 Republic of Finland  2.000%  4/15/24 EUR        19,773      24,333
3 Republic of Finland  0.000%  9/15/24 EUR        34,091      39,993
3 Republic of Finland  4.000%   7/4/25 EUR        29,770      40,113
3 Republic of Finland  0.875%  9/15/25 EUR         7,159       8,683
3 Republic of Finland  0.500%  9/15/27 EUR        34,773      41,862
3 Republic of Finland  2.750%   7/4/28 EUR         7,741      10,697
3 Republic of Finland  0.500%  9/15/29 EUR        47,377      57,071
3 Republic of Finland  0.000%  9/15/30 EUR        73,862      84,915
3 Republic of Finland  0.750%  4/15/31 EUR        43,972      53,928
3 Republic of Finland  0.125%  9/15/31 EUR        19,360      22,322
3 Republic of Finland  1.125%  4/15/34 EUR        21,818      27,985
3 Republic of Finland  2.625%   7/4/42 EUR        23,328      39,213
3 Republic of Finland  1.375%  4/15/47 EUR        14,318      20,537
3 Republic of Finland  0.125%  4/15/52 EUR        10,000      10,374
                   579,834
France (8.8%)                              
  Action Logement Services  0.750%  7/19/41 EUR         7,000       7,804
  Agence Francaise de Developpement EPIC  0.125% 11/15/23 EUR         5,400       6,303
  Agence Francaise de Developpement EPIC  0.375%  4/30/24 EUR        28,900      34,020
  Agence Francaise de Developpement EPIC  1.375%  9/17/24 EUR        14,000      16,933
  Agence Francaise de Developpement EPIC  2.250%  5/27/25 EUR         6,800       8,545
  Agence Francaise de Developpement EPIC  0.500% 10/31/25 EUR         6,800       8,064
  Agence Francaise de Developpement EPIC  0.250%  7/21/26 EUR         8,200       9,626
  Agence Francaise de Developpement EPIC  3.750%  2/15/27 EUR         2,400       3,323
  Agence Francaise de Developpement EPIC  1.000%  1/31/28 EUR         3,400       4,158
  Agence Francaise de Developpement EPIC  0.010% 11/25/28 EUR        15,000      17,149
  Agence Francaise de Developpement EPIC  0.250%  6/29/29 EUR        26,200      30,348
  Agence Francaise de Developpement EPIC  0.500%  5/25/30 EUR        39,200      46,084
  Agence Francaise de Developpement EPIC  1.375%   7/5/32 EUR        10,200      12,905
  Agence Francaise de Developpement EPIC  0.500%  5/31/35 EUR         6,800       7,731
  Agence France Locale  0.500%  6/20/24 EUR         6,600       7,784
  Agence France Locale  0.125%  6/20/26 EUR        11,500      13,364
  Agence France Locale  1.125%  6/20/28 EUR         6,100       7,487
  Bpifrance SACA  0.250%  2/14/23 EUR        13,600      15,863
  Bpifrance SACA  0.125% 11/25/23 EUR         1,700       1,987
  Bpifrance SACA  2.500%  5/25/24 EUR         6,800       8,431
  Bpifrance SACA  0.750% 11/25/24 EUR        10,900      12,996
  Bpifrance SACA  0.125%  3/25/25 EUR        21,900      25,615
  Bpifrance SACA  0.500%  5/25/25 EUR         3,700       4,384
  Bpifrance SACA  2.750% 10/25/25 EUR        19,100      24,648
  Bpifrance SACA  0.050%  9/26/29 EUR         6,800       7,741
  Bpifrance SACA  1.875%  5/25/30 EUR         6,800       8,930
  Caisse d'Amortissement de la Dette Sociale  0.125% 11/25/22 EUR        75,000      87,245
  Caisse d'Amortissement de la Dette Sociale  4.125%  4/25/23 EUR         3,409       4,205
  Caisse d'Amortissement de la Dette Sociale  0.500%  5/25/23 EUR        60,600      71,060
  Caisse d'Amortissement de la Dette Sociale  0.125% 10/25/23 EUR         4,500       5,258
  Caisse d'Amortissement de la Dette Sociale  1.375% 11/25/24 EUR        47,727      57,983
  Caisse d'Amortissement de la Dette Sociale  4.000% 12/15/25 EUR         6,818       9,249
  Caisse d'Amortissement de la Dette Sociale  0.000%  5/25/29 EUR        30,000      34,268
  Caisse d'Amortissement de la Dette Sociale  0.000%  5/25/31 EUR        67,500      75,600
  Caisse Francaise de Financement Local  0.625%  1/26/23 EUR        12,900      15,096
95


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Caisse Francaise de Financement Local  0.200%  4/27/23 EUR        10,600      12,350
  Caisse Francaise de Financement Local  2.375%  1/17/24 EUR         8,100       9,893
  Caisse Francaise de Financement Local  0.375%  5/11/24 EUR        13,600      15,922
  Caisse Francaise de Financement Local  5.375%   7/8/24 EUR         2,727       3,616
  Caisse Francaise de Financement Local  0.375%  6/23/25 EUR        15,700      18,410
  Caisse Francaise de Financement Local  1.125%   9/9/25 EUR         2,300       2,776
  Caisse Francaise de Financement Local  0.500%  1/19/26 EUR         1,300       1,534
  Caisse Francaise de Financement Local  0.625%  4/13/26 EUR         4,100       4,866
  Caisse Francaise de Financement Local  0.750%  1/11/27 EUR         2,700       3,230
  Caisse Francaise de Financement Local  0.750%  9/27/27 EUR         6,800       8,157
  Caisse Francaise de Financement Local  1.000%  4/25/28 EUR           200         244
  Caisse Francaise de Financement Local  3.000%  10/2/28 EUR         6,400       8,843
  Caisse Francaise de Financement Local  0.010%  6/24/30 EUR        34,100      38,588
  Caisse Francaise de Financement Local  1.500%  1/13/31 EUR         6,800       8,729
  Caisse Francaise de Financement Local  1.250%  5/11/32 EUR        12,900      16,311
  Caisse Francaise de Financement Local  1.450%  1/16/34 EUR         3,400       4,425
  Caisse Francaise de Financement Local  1.250%  1/22/35 EUR           500         639
  Caisse Francaise de Financement Local  1.500%  6/28/38 EUR         4,700       6,329
  Caisse Francaise de Financement Local  0.375%  2/13/40 EUR        12,700      14,430
  France  0.000%  2/25/23 EUR        55,683      64,889
  France  8.500%  4/25/23 EUR           400         525
9 France  1.750%  5/25/23 EUR       368,988     442,185
  France  4.250% 10/25/23 EUR        75,525      95,683
9 France  0.000%  2/25/24 EUR       831,146     971,717
  France  1.750% 11/25/24 EUR       104,890     129,395
  France  0.000%  3/25/25 EUR       337,498     395,243
10 France  0.500%  5/25/25 EUR        97,459     116,189
  France  1.000% 11/25/25 EUR       126,129     153,632
  France  0.000%  2/25/26 EUR       254,537     297,690
  France  3.500%  4/25/26 EUR        76,363     103,257
9 France  0.500%  5/25/26 EUR       237,272     283,758
9 France  0.250% 11/25/26 EUR       111,363     131,693
  France  0.000%  2/25/27 EUR       822,297     959,048
9 France  0.750%  5/25/28 EUR       328,408     399,835
9 France  0.750% 11/25/28 EUR       273,695     333,402
  France  5.500%  4/25/29 EUR        45,477      74,223
  France  0.000% 11/25/29 EUR       128,716     147,628
9 France  0.000% 11/25/30 EUR       288,629     327,908
9 France  1.500%  5/25/31 EUR       234,544     304,022
  France  0.000% 11/25/31 EUR       330,754     371,643
9 France  1.250%  5/25/34 EUR       310,203     395,278
  France  4.750%  4/25/35 EUR        42,258      76,834
3,9 France  1.250%  5/25/36 EUR       207,832     266,096
  France  4.000% 10/25/38 EUR       107,604     195,158
3 France  1.750%  6/25/39 EUR        51,170      71,408
3 France  0.500%  5/25/40 EUR       142,398     161,348
9 France  4.500%  4/25/41 EUR       175,237     348,147
3 France  0.500%  6/25/44 EUR        31,960      35,565
  France  3.250%  5/25/45 EUR       130,080     234,551
3 France  2.000%  5/25/48 EUR        84,538     127,237
3 France  1.500%  5/25/50 EUR       170,179     231,727
3 France  0.750%  5/25/52 EUR       127,606     143,992
3 France  0.750%  5/25/53 EUR        42,467      47,371
3 France  4.000%  4/25/55 EUR        50,243     111,451
  France  4.000%  4/25/60 EUR        66,307     154,126
96


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
3 France  1.750%  5/25/66 EUR         6,247       9,317
3 France  0.500%  5/25/72 EUR       111,997     104,004
  Regie Autonome des Transports Parisiens  0.875%  5/25/27 EUR         2,000       2,414
  Region of Ile de France  2.250%  6/10/23 EUR           800         963
  Region of Ile de France  3.625%  3/27/24 EUR         9,100      11,524
  Region of Ile de France  0.500%  6/14/25 EUR        10,200      12,063
  Region of Ile de France  0.625%  4/23/27 EUR         3,400       4,046
  Region of Ile de France  1.375%  3/14/29 EUR           100         125
  Region of Ile de France  1.375%  6/20/33 EUR         4,100       5,164
  SA de Gestion de Stocks de Securite  0.625%  5/25/23 EUR         8,100       9,501
  SNCF Reseau  2.625% 12/29/25 EUR         3,200       4,111
  SNCF Reseau  4.250%  10/7/26 EUR         1,300       1,818
  SNCF Reseau  3.125% 10/25/28 EUR         4,700       6,533
  SNCF Reseau  5.250%  12/7/28 GBP        11,587      20,098
  SNCF Reseau  0.875%  1/22/29 EUR         4,100       4,948
  SNCF Reseau  1.125%  5/25/30 EUR        19,100      23,448
  SNCF Reseau  1.000%  11/9/31 EUR        10,200      12,350
  SNCF Reseau  5.000% 10/10/33 EUR        10,500      18,233
  SNCF Reseau  5.250%  1/31/35 GBP           954       1,865
  SNCF Reseau  0.750%  5/25/36 EUR        25,200      29,371
  SNCF Reseau  1.500%  5/29/37 EUR        12,200      15,580
  SNCF Reseau  2.250% 12/20/47 EUR         8,500      12,426
  SNCF Reseau  2.000%   2/5/48 EUR         3,400       4,703
  SNCF Reseau  5.000%  3/11/52 GBP         3,426       8,249
  SNCF Reseau  4.830%  3/25/60 GBP           954       2,391
  Societe Du Grand Paris EPIC  1.125% 10/22/28 EUR         7,000       8,630
  Societe Du Grand Paris EPIC  0.000% 11/25/30 EUR        10,200      11,382
  Societe Du Grand Paris EPIC  1.125%  5/25/34 EUR        16,000      19,618
  Societe Du Grand Paris EPIC  1.700%  5/25/50 EUR        23,800      32,447
  Societe Du Grand Paris EPIC  0.700% 10/15/60 EUR         3,400       3,419
  Societe Du Grand Paris EPIC  1.000%  2/18/70 EUR        12,500      13,535
  Societe Nationale SNCF SA  4.875%  6/12/23 EUR         3,850       4,821
  Societe Nationale SNCF SA  4.125%  2/19/25 EUR           600         790
  Societe Nationale SNCF SA  5.375%  3/18/27 GBP         5,501       9,050
  Societe Nationale SNCF SA  1.500%   2/2/29 EUR         9,500      11,844
  Societe Nationale SNCF SA  1.000%  5/25/40 EUR        19,900      22,665
  Societe Nationale SNCF SA  0.875%  2/28/51 EUR         2,000       2,069
  UNEDIC ASSEO  2.250%   4/5/23 EUR         4,700       5,645
  UNEDIC ASSEO  2.375%  5/25/24 EUR         2,000       2,472
  UNEDIC ASSEO  0.125% 11/25/24 EUR        61,200      71,535
  UNEDIC ASSEO  0.625%  2/17/25 EUR         6,000       7,143
  UNEDIC ASSEO  0.625%   3/3/26 EUR         9,700      11,571
  UNEDIC ASSEO  0.100% 11/25/26 EUR        52,200      60,783
  UNEDIC ASSEO  1.250% 10/21/27 EUR        14,700      18,261
  UNEDIC ASSEO  0.500%  3/20/29 EUR        16,300      19,329
  UNEDIC ASSEO  0.250% 11/25/29 EUR        20,400      23,672
  UNEDIC ASSEO  0.000% 11/19/30 EUR        12,700      14,287
  UNEDIC ASSEO  1.500%  4/20/32 EUR         1,000       1,288
  UNEDIC ASSEO  1.250%  5/25/33 EUR         1,400       1,769
  UNEDIC ASSEO  0.100%  5/25/34 EUR        33,900      37,268
  UNEDIC ASSEO  0.250%  7/16/35 EUR        13,000      14,485
                   10,350,356
Germany (7.8%)                              
  Bundesobligation  0.000%  4/14/23 EUR         5,190       6,054
  Bundesobligation  0.000% 10/18/24 EUR       337,551     396,412
97


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Bundesobligation  0.000%  4/11/25 EUR       290,435     341,424
  Bundesobligation  0.000% 10/10/25 EUR       340,908     401,175
  Bundesschatzanweisungen  0.000%  3/10/23 EUR         3,600       4,196
  Bundesschatzanweisungen  0.000%  6/16/23 EUR        26,111      30,480
  Bundesschatzanweisungen  0.000%  9/15/23 EUR       241,133     281,753
  Federal Republic of Germany  2.000%   1/4/22 EUR           480         558
  Federal Republic of Germany  1.750%   7/4/22 EUR       150,525     176,824
  Federal Republic of Germany  1.500%  5/15/23 EUR        26,762      31,953
  Federal Republic of Germany  1.500%  5/15/24 EUR        58,067      70,698
  Federal Republic of Germany  1.000%  8/15/24 EUR        68,181      82,260
9 Federal Republic of Germany  0.500%  2/15/26 EUR       178,635     214,881
  Federal Republic of Germany  0.000%  8/15/26 EUR        29,999      35,347
9 Federal Republic of Germany  0.250%  2/15/27 EUR       153,202     182,907
  Federal Republic of Germany  0.500%  8/15/27 EUR        18,459      22,392
9 Federal Republic of Germany  0.000% 11/15/27 EUR       325,467     383,560
9 Federal Republic of Germany  0.500%  2/15/28 EUR       318,380     387,131
9 Federal Republic of Germany  0.250%  8/15/28 EUR       137,950     165,340
  Federal Republic of Germany  0.000% 11/15/28 EUR       150,000     176,479
9 Federal Republic of Germany  0.250%  2/15/29 EUR        66,240      79,420
9 Federal Republic of Germany  0.000%  8/15/29 EUR       100,008     117,624
  Federal Republic of Germany  0.000%  8/15/30 EUR        90,000     105,687
  Federal Republic of Germany  0.000%  8/15/31 EUR       450,000     525,158
9 Federal Republic of Germany  0.000%  5/15/35 EUR       264,622     307,498
9 Federal Republic of Germany  0.000%  5/15/36 EUR       381,168     438,390
  Federal Republic of Germany  4.750%   7/4/40 EUR        31,217      68,609
  Federal Republic of Germany  3.250%   7/4/42 EUR         8,818      17,099
  Federal Republic of Germany  2.500%   7/4/44 EUR       151,363     273,888
9 Federal Republic of Germany  2.500%  8/15/46 EUR       206,082     382,603
  Federal Republic of Germany  1.250%  8/15/48 EUR       130,385     196,879
9 Federal Republic of Germany  0.000%  8/15/50 EUR       147,493     164,637
  FMS Wertmanagement  1.125%  3/20/23 GBP        11,900      16,348
  FMS Wertmanagement  1.125%   9/7/23 GBP        15,000      20,594
  FMS Wertmanagement  1.375%   3/7/25 GBP        13,600      18,843
  FMS Wertmanagement  0.375%  4/29/30 EUR         7,500       8,809
  Free and Hanseatic City of Hamburg  0.250%  1/20/25 EUR        15,681      18,376
  Free and Hanseatic City of Hamburg  0.375%   4/1/25 EUR         4,305       5,057
  Free and Hanseatic City of Hamburg  0.800%  4/11/34 EUR         1,363       1,654
  Free and Hanseatic City of Hamburg  1.450%  11/5/38 EUR        10,227      13,667
  Free State of Bavaria  0.030%   4/3/28 EUR        30,000      34,593
  Free State of Bavaria  0.150%   4/3/30 EUR         6,702       7,737
  Free State of Bavaria  0.010%  1/18/35 EUR        21,176      23,315
  Free State of Saxony  0.010%  11/5/29 EUR        15,247      17,399
  Gemeinsame Deutsche Bundeslaender  1.750%  1/31/23 EUR         5,455       6,479
  Gemeinsame Deutsche Bundeslaender  0.125%  4/14/23 EUR         6,818       7,941
  Gemeinsame Deutsche Bundeslaender  2.250% 10/23/23 EUR           175         213
  Gemeinsame Deutsche Bundeslaender  0.250%  3/18/24 EUR        17,045      19,934
  Gemeinsame Deutsche Bundeslaender  1.125%  9/30/24 EUR         3,749       4,496
  Gemeinsame Deutsche Bundeslaender  0.500%   2/5/25 EUR        11,454      13,515
  Gemeinsame Deutsche Bundeslaender  0.375%  4/17/25 EUR        13,637      16,031
  Gemeinsame Deutsche Bundeslaender  0.625%  2/13/29 EUR         2,727       3,269
  Gemeinsame Deutsche Bundeslaender  0.010%  8/26/30 EUR        24,548      27,912
11 KFW  0.000% 12/15/22 EUR        17,045      19,820
11 KFW  2.800%   3/7/23 AUD        17,454      13,487
11 KFW  0.375%  3/15/23 EUR        44,045      51,518
11 KFW  0.000%  6/30/23 EUR        16,941      19,725
98


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
11 KFW  2.125%  8/15/23 EUR        13,637      16,484
11 KFW  0.000%  9/15/23 EUR        21,818      25,407
11 KFW  0.125%  11/7/23 EUR         7,379       8,620
11 KFW  1.250% 12/29/23 GBP        14,011      19,299
11 KFW  0.125%  1/15/24 EUR        13,637      15,938
11 KFW  5.000%  3/19/24 AUD         1,363       1,113
11 KFW  0.000%   4/2/24 EUR        11,386      13,268
11 KFW  0.050%  5/30/24 EUR         2,045       2,385
11 KFW  1.500%  6/11/24 EUR        15,314      18,534
11 KFW  0.875%  7/18/24 GBP           564         770
11 KFW  1.500%  7/24/24 AUD         1,057         796
11 KFW  0.125%  10/4/24 EUR        55,235      64,572
11 KFW  1.375%  12/9/24 GBP         8,863      12,257
11 KFW  0.625%  1/15/25 EUR        53,642      63,726
11 KFW  4.000%  2/27/25 AUD         5,250       4,256
11 KFW  0.375%  4/23/25 EUR        19,773      23,324
11 KFW  5.500%  6/18/25 GBP        13,637      21,661
11 KFW  2.500%  8/25/25 CHF         7,210       8,736
11 KFW  0.250%  9/15/25 EUR        17,045      20,050
11 KFW  0.750%  2/19/26 CAD         4,404       3,435
11 KFW  0.375%   3/9/26 EUR        30,341      35,894
11 KFW  3.200%  9/11/26 AUD         5,768       4,604
11 KFW  0.000%  9/30/26 EUR       101,930     118,556
11 KFW  0.625%  2/22/27 EUR        25,909      31,074
11 KFW  0.000%  3/31/27 EUR         7,877       9,141
11 KFW  0.500%  9/15/27 EUR        44,318      52,918
11 KFW  0.000% 12/15/27 EUR        19,313      22,383
11 KFW  0.625%   1/7/28 EUR        27,273      32,844
11 KFW  3.200%  3/15/28 AUD         5,989       4,771
11 KFW  0.750%  6/28/28 EUR        21,037      25,584
11 KFW  0.000%  9/15/28 EUR         6,818       7,886
11 KFW  6.000%  12/7/28 GBP         6,818      12,430
11 KFW  0.750%  1/15/29 EUR        38,752      47,174
11 KFW  0.000%  9/17/30 EUR        12,706      14,523
11 KFW  0.000%  1/10/31 EUR        30,000      34,294
11 KFW  5.750%   6/7/32 GBP         7,159      14,141
11 KFW  1.125%   5/9/33 EUR        26,591      33,815
11 KFW  0.050%  9/29/34 EUR        17,301      19,395
11 KFW  1.375%  7/31/35 EUR         9,545      12,598
11 KFW  1.250%   7/4/36 EUR        15,681      20,479
11 KFW  4.875%  3/15/37 GBP         1,354       2,767
11 KFW  4.700%   6/2/37 CAD         1,602       1,616
11 KFW  1.125%  6/15/37 EUR         6,818       8,814
11 KFW  2.600%  6/20/37 JPY        25,000         300
11 KFW  0.875%   7/4/39 EUR         3,409       4,272
  Land Baden-Wuerttemberg  2.000% 11/13/23 EUR         5,455       6,599
  Land Baden-Wuerttemberg  0.625%   2/9/27 EUR         6,818       8,136
  Land Baden-Wuerttemberg  0.800%   4/5/28 EUR         6,818       8,252
  Land Baden-Wuerttemberg  0.010%   7/9/32 EUR        21,818      24,447
  Land Berlin  0.750% 11/11/22 EUR         6,818       7,983
  Land Berlin  1.875%  6/12/23 EUR         1,227       1,470
  Land Berlin  0.500%  2/10/25 EUR        14,318      16,909
  Land Berlin  0.250%  4/22/25 EUR         6,818       7,983
  Land Berlin  0.625%  3/20/26 EUR        27,273      32,474
  Land Berlin  0.625%   2/8/27 EUR         3,818       4,560
99


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Land Berlin  0.010%  5/18/27 EUR        24,137      27,888
  Land Berlin  0.010% 10/26/28 EUR        18,409      21,150
  Land Berlin  0.010%   7/2/30 EUR        17,727      20,197
  Land Berlin  1.000%  5/19/32 EUR        10,227      12,678
  Land Berlin  1.300%  6/13/33 EUR         1,363       1,745
  Land Berlin  0.750%   4/3/34 EUR        13,970      16,848
  Land Berlin  0.125%   6/4/35 EUR         6,818       7,589
  Land Berlin  0.625%  8/25/36 EUR         1,705       2,023
  Land Berlin  1.375%   6/5/37 EUR         3,409       4,477
  Land Berlin  1.375%  8/27/38 EUR         3,409       4,513
  Land Berlin  0.050%   8/6/40 EUR        10,227      10,880
  Land Berlin  0.100%  1/18/41 EUR         7,400       7,926
  Land Thueringen  0.500%  5/12/25 EUR         3,068       3,624
  Land Thueringen  0.200% 10/26/26 EUR        10,227      11,957
  Land Thueringen  0.250%   3/5/40 EUR         5,591       6,192
  Landeskreditbank Baden-Wuerttemberg Foerderbank  4.250%   8/7/25 AUD         8,045       6,583
  Landeskreditbank Baden-Wuerttemberg Foerderbank  0.375%  4/13/26 EUR        10,227      12,012
11 Landwirtschaftliche Rentenbank  0.250% 11/24/22 EUR         6,818       7,945
11 Landwirtschaftliche Rentenbank  0.625% 12/15/22 GBP         2,727       3,731
11 Landwirtschaftliche Rentenbank  4.250%  1/24/23 AUD        36,540      28,664
11 Landwirtschaftliche Rentenbank  0.050%  6/12/23 EUR        10,227      11,908
11 Landwirtschaftliche Rentenbank  1.125% 12/15/23 GBP         4,025       5,531
11 Landwirtschaftliche Rentenbank  0.375%  1/22/24 EUR        19,763      23,181
11 Landwirtschaftliche Rentenbank  4.750%   4/8/24 AUD         2,730       2,220
11 Landwirtschaftliche Rentenbank  4.250%   1/9/25 AUD        11,250       9,165
11 Landwirtschaftliche Rentenbank  0.500%   3/6/25 EUR        15,681      18,523
11 Landwirtschaftliche Rentenbank  2.600%  3/23/27 AUD         3,200       2,473
11 Landwirtschaftliche Rentenbank  0.625%  5/18/27 EUR        22,023      26,387
11 Landwirtschaftliche Rentenbank  0.375%  2/14/28 EUR         6,818       8,062
11 Landwirtschaftliche Rentenbank  3.250%  4/12/28 AUD         2,960       2,364
11 Landwirtschaftliche Rentenbank  0.000%  7/19/28 EUR         6,800       7,846
11 Landwirtschaftliche Rentenbank  0.500%  2/28/29 EUR        14,525      17,346
11 Landwirtschaftliche Rentenbank  0.000% 11/27/29 EUR         6,818       7,816
11 Landwirtschaftliche Rentenbank  0.050% 12/18/29 EUR        30,000      34,519
11 Landwirtschaftliche Rentenbank  0.625%  2/20/30 EUR        13,637      16,419
  NRW Bank  0.100%  1/10/23 EUR        17,045      19,826
  NRW Bank  0.125%  3/10/23 EUR         3,400       3,956
  NRW Bank  0.375% 12/16/24 GBP        20,000      26,809
  NRW Bank  0.250%  3/10/25 EUR        10,227      11,955
  NRW Bank  0.625%  2/11/26 EUR        10,227      12,147
  NRW Bank  0.500%  5/11/26 EUR         8,181       9,666
  NRW Bank  0.250%  9/28/26 EUR         4,057       4,748
  NRW Bank  0.625%  2/23/27 EUR        10,227      12,195
  NRW Bank  0.125%  4/12/27 EUR        11,113      12,888
  NRW Bank  0.500%  9/13/27 EUR        10,227      12,104
  NRW Bank  0.625%   1/4/28 EUR         4,773       5,698
  NRW Bank  0.375%  5/16/29 EUR         4,943       5,790
  NRW Bank  0.100%   7/9/35 EUR         4,920       5,445
  NRW Bank  0.500%  6/17/41 EUR        19,000      21,903
  NRW Bank  1.250%  5/13/49 EUR         6,818       9,418
  State of Brandenburg  0.750%   8/8/36 EUR         6,818       8,093
  State of Brandenburg  1.450% 11/26/38 EUR         9,614      12,872
  State of Brandenburg  0.300%  10/4/49 EUR           681         760
  State of Bremen  0.500%   3/3/25 EUR         8,863      10,458
100


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  State of Bremen  1.200%  1/30/34 EUR           400         506
  State of Bremen  1.500% 11/12/38 EUR         3,362       4,523
  State of Bremen  1.000%  5/27/39 EUR         8,521      10,678
  State of Bremen  0.550%   2/4/50 EUR         8,470      10,026
  State of Hesse  1.750%  1/20/23 EUR         2,045       2,428
  State of Hesse  0.375%  3/10/23 EUR        25,909      30,265
  State of Hesse  0.125%  1/25/24 EUR         1,360       1,585
  State of Hesse  1.375%  6/10/24 EUR         2,727       3,282
  State of Hesse  0.125%  6/20/24 EUR         9,000      10,509
  State of Hesse  0.500%  2/17/25 EUR         7,159       8,445
  State of Hesse  0.250%  6/10/25 EUR        17,045      19,959
  State of Hesse  0.000%  4/14/26 EUR         1,227       1,422
  State of Hesse  0.375%   7/6/26 EUR        40,840      48,140
  State of Hesse  0.625%   8/2/28 EUR         6,818       8,173
  State of Hesse  0.000%  11/8/30 EUR        17,045      19,347
  State of Hesse  1.300% 10/10/33 EUR         5,455       7,022
  State of Hesse  0.750%   8/4/36 EUR         8,181       9,867
  State of Lower Saxony  0.050% 11/10/22 EUR         6,818       7,923
  State of Lower Saxony  0.375%  1/19/23 EUR        10,227      11,944
  State of Lower Saxony  0.125%   3/7/23 EUR        13,637      15,877
  State of Lower Saxony  2.125% 10/11/23 EUR           681         824
  State of Lower Saxony  2.125%  1/16/24 EUR           310         377
  State of Lower Saxony  0.000%   8/2/24 EUR        16,374      19,021
  State of Lower Saxony  0.625%  1/20/25 EUR         6,818       8,075
  State of Lower Saxony  0.125%   3/7/25 EUR         2,727       3,179
  State of Lower Saxony  0.500%  6/13/25 EUR         6,818       8,056
  State of Lower Saxony  0.375%   1/9/26 EUR        14,105      16,604
  State of Lower Saxony  0.500%   6/8/26 EUR         1,705       2,020
  State of Lower Saxony  0.010%   9/8/26 EUR        16,941      19,620
  State of Lower Saxony  0.000%  2/11/27 EUR         8,966      10,362
  State of Lower Saxony  0.125%   4/8/27 EUR         1,363       1,586
  State of Lower Saxony  0.625%   7/6/27 EUR        13,637      16,304
  State of Lower Saxony  0.750%  2/15/28 EUR        10,227      12,341
  State of Lower Saxony  0.010%  2/19/29 EUR        13,309      15,265
  State of Lower Saxony  0.375%  5/14/29 EUR         4,091       4,817
  State of Lower Saxony  0.125%  1/10/30 EUR         6,818       7,856
  State of Lower Saxony  0.010%  8/13/30 EUR        17,707      20,146
  State of Lower Saxony  0.050%   3/9/35 EUR        17,334      19,116
  State of North Rhine-Westphalia Germany  0.375%  2/16/23 EUR         2,932       3,424
  State of North Rhine-Westphalia Germany  0.200%  4/17/23 EUR        14,999      17,484
  State of North Rhine-Westphalia Germany  0.200%  2/16/24 EUR        20,363      23,778
  State of North Rhine-Westphalia Germany  1.875%  3/15/24 EUR         1,329       1,613
  State of North Rhine-Westphalia Germany  1.000%  1/16/25 EUR           220         263
  State of North Rhine-Westphalia Germany  0.500%  3/11/25 EUR         2,045       2,413
  State of North Rhine-Westphalia Germany  2.000% 10/15/25 EUR         2,045       2,559
  State of North Rhine-Westphalia Germany  0.750%  1/16/26 EUR        10,227      12,224
  State of North Rhine-Westphalia Germany  0.250%  3/13/26 EUR        71,809      84,125
  State of North Rhine-Westphalia Germany  0.500%  4/16/26 EUR         6,818       8,077
  State of North Rhine-Westphalia Germany  0.500%  2/16/27 EUR        13,909      16,520
  State of North Rhine-Westphalia Germany  0.950%  3/13/28 EUR        19,091      23,326
  State of North Rhine-Westphalia Germany  0.000%  1/15/29 EUR         4,150       4,767
  State of North Rhine-Westphalia Germany  0.200%   4/9/30 EUR         5,369       6,224
  State of North Rhine-Westphalia Germany  1.625% 10/24/30 EUR         6,818       8,870
  State of North Rhine-Westphalia Germany  0.625%  7/21/31 EUR        10,227      12,252
  State of North Rhine-Westphalia Germany  2.375%  5/13/33 EUR        24,818      35,285
101


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  State of North Rhine-Westphalia Germany  1.100%  3/13/34 EUR        18,406      23,099
  State of North Rhine-Westphalia Germany  0.000% 10/12/35 EUR        24,648      26,849
  State of North Rhine-Westphalia Germany  1.250%  5/12/36 EUR         9,545      12,249
  State of North Rhine-Westphalia Germany  1.650%  2/22/38 EUR        11,318      15,448
  State of North Rhine-Westphalia Germany  1.500%  6/12/40 EUR         2,318       3,157
  State of North Rhine-Westphalia Germany  0.600%   6/4/41 EUR         5,000       5,902
  State of North Rhine-Westphalia Germany  0.750%  8/16/41 EUR         1,363       1,646
  State of North Rhine-Westphalia Germany  1.450%  2/16/43 EUR         3,409       4,691
  State of North Rhine-Westphalia Germany  1.650%  5/16/47 EUR         6,818      10,042
  State of North Rhine-Westphalia Germany  1.550%  6/16/48 EUR         6,818      10,005
  State of North Rhine-Westphalia Germany  0.800%  7/30/49 EUR         7,210       9,068
  State of North Rhine-Westphalia Germany  0.200%  1/27/51 EUR        25,644      27,667
  State of North Rhine-Westphalia Germany  1.750% 10/26/57 EUR        10,909      17,656
  State of North Rhine-Westphalia Germany  1.750%  7/11/68 EUR         3,409       5,570
  State of North Rhine-Westphalia Germany  1.950%  9/26/78 EUR        12,750      22,999
  State of North Rhine-Westphalia Germany  2.150%  3/21/19 EUR        12,657      25,640
  State of North Rhine-Westphalia Germany  1.375%  1/15/20 EUR        14,173      20,923
  State of North Rhine-Westphalia Germany  0.950%  1/10/21 EUR        10,041      11,979
  State of Rhineland-Palatinate  0.500%  1/21/25 EUR         4,091       4,827
  State of Rhineland-Palatinate  0.100%  8/18/26 EUR         6,818       7,929
  State of Rhineland-Palatinate  0.375%  1/26/27 EUR         6,818       8,036
  State of Rhineland-Palatinate  0.700%  1/26/28 EUR         6,818       8,191
  State of Rhineland-Palatinate  0.010%  1/21/31 EUR        16,941      19,214
  State of Saxony-Anhalt  1.625%  4/25/23 EUR         2,727       3,247
  State of Saxony-Anhalt  1.875%  4/10/24 EUR         6,137       7,459
  State of Saxony-Anhalt  0.500%  6/25/27 EUR         1,705       2,023
  State of Schleswig-Holstein Germany  0.500%  5/19/26 EUR        17,886      21,182
  State of Schleswig-Holstein Germany  0.250%  4/18/28 EUR         1,363       1,593
  State of Schleswig-Holstein Germany  0.625%  8/31/28 EUR         4,670       5,595
  State of Schleswig-Holstein Germany  0.010%  5/22/30 EUR         2,000       2,278
  State of Schleswig-Holstein Germany  0.050%   7/8/31 EUR         3,426       3,885
  Wirtschafts- und Infrastrukturbank Hessen  1.750%  12/6/22 EUR         1,705       2,019
                   9,147,640
Hong Kong (0.0%)                              
  Hong Kong Government Bond Programme  1.100%  1/17/23 HKD        17,050       2,216
  Hong Kong Government Bond Programme  0.510% 10/23/23 HKD        42,350       5,452
  Hong Kong Government Bond Programme  0.360%  4/15/24 HKD       100,000      12,790
  Hong Kong Government Bond Programme  2.220%   8/7/24 HKD        20,400       2,734
  Hong Kong Government Bond Programme  1.680%  1/21/26 HKD         6,800         901
  Hong Kong Government Bond Programme  1.250%  6/29/27 HKD         4,050         524
  Hong Kong Government Bond Programme  1.970%  1/17/29 HKD        81,800      11,001
  Hong Kong Government Bond Programme  2.130%  7/16/30 HKD        53,850       7,323
  Hong Kong Government Bond Programme  1.890%   3/2/32 HKD         4,350         580
  Hong Kong Government Bond Programme  2.020%   3/7/34 HKD        18,800       2,545
                   46,066
Hungary (0.2%)                              
  Republic of Hungary  7.000%  6/24/22 HUF       364,090       1,209
  Republic of Hungary  1.750% 10/26/22 HUF       272,720         877
  Republic of Hungary  1.500%  8/23/23 HUF     2,312,030       7,400
  Republic of Hungary  6.000% 11/24/23 HUF     1,984,070       6,890
  Republic of Hungary  2.500% 10/24/24 HUF     8,502,070      27,177
  Republic of Hungary  5.500%  6/24/25 HUF     4,116,400      14,387
  Republic of Hungary  1.250% 10/22/25 EUR         9,205      11,087
  Republic of Hungary  1.000% 11/26/25 HUF     2,564,980       7,642
  Republic of Hungary  1.500%  4/22/26 HUF     7,432,870      22,190
102


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Hungary  2.750% 12/22/26 HUF     4,738,610      14,776
  Republic of Hungary  1.750% 10/10/27 EUR         3,000       3,768
  Republic of Hungary  3.000% 10/27/27 HUF    13,583,450      42,389
3 Republic of Hungary  0.125%  9/21/28 EUR         4,750       5,341
  Republic of Hungary  6.750% 10/22/28 HUF       545,450       2,088
  Republic of Hungary  2.000%  5/23/29 HUF     2,749,620       7,848
  Republic of Hungary  3.000%  8/21/30 HUF     7,431,780      22,574
  Republic of Hungary  3.250% 10/22/31 HUF       647,720       1,983
  Republic of Hungary  1.625%  4/28/32 EUR        31,381      37,724
  Republic of Hungary  2.250%  4/20/33 HUF     3,303,580       8,949
  Republic of Hungary  1.750%   6/5/35 EUR         2,634       3,159
  Republic of Hungary  3.000% 10/27/38 HUF     2,045,440       5,574
  Republic of Hungary  3.000%  4/25/41 HUF     2,541,220       6,661
  Republic of Hungary  1.500% 11/17/50 EUR         5,082       5,404
                   267,097
Iceland (0.0%)                              
  Republic of Iceland  0.625%   6/3/26 EUR         3,119       3,674
Indonesia (1.0%)                              
  Indonesia Treasury Bond  5.625%  5/15/23 IDR   622,909,000      45,040
  Indonesia Treasury Bond  8.375%  3/15/24 IDR 1,050,530,000      81,022
  Indonesia Treasury Bond  8.125%  5/15/24 IDR   374,999,000      28,890
  Indonesia Treasury Bond  6.500%  6/15/25 IDR 1,090,976,000      80,940
  Indonesia Treasury Bond  7.250%  2/15/26 IDR   192,271,000      14,591
  Indonesia Treasury Bond  5.500%  4/15/26 IDR   727,326,000      52,083
  Indonesia Treasury Bond  8.375%  9/15/26 IDR   460,225,000      36,843
  Indonesia Treasury Bond  5.125%  4/15/27 IDR   100,000,000       7,127
  Indonesia Treasury Bond  7.000%  5/15/27 IDR 1,016,757,000      77,142
  Indonesia Treasury Bond  6.125%  5/15/28 IDR   983,859,000      70,837
  Indonesia Treasury Bond  9.000%  3/15/29 IDR    34,090,000       2,805
  Indonesia Treasury Bond  8.250%  5/15/29 IDR   815,771,000      64,930
  Indonesia Treasury Bond  7.000%  9/15/30 IDR   982,796,000      73,118
  Indonesia Treasury Bond  6.500%  2/15/31 IDR   833,458,000      60,001
  Indonesia Treasury Bond  8.750%  5/15/31 IDR   137,795,000      11,379
  Indonesia Treasury Bond  6.375%  4/15/32 IDR   100,000,000       7,227
  Indonesia Treasury Bond  7.500%  8/15/32 IDR   238,012,000      18,058
  Indonesia Treasury Bond  6.625%  5/15/33 IDR 1,240,660,000      88,128
  Indonesia Treasury Bond  8.375%  3/15/34 IDR   532,190,000      42,468
  Indonesia Treasury Bond  7.500%  6/15/35 IDR   635,205,000      47,495
  Indonesia Treasury Bond  8.250%  5/15/36 IDR   386,719,000      30,765
  Indonesia Treasury Bond  9.750%  5/15/37 IDR    88,861,000       7,891
  Indonesia Treasury Bond  7.500%  5/15/38 IDR   519,264,000      38,356
  Indonesia Treasury Bond  8.375%  4/15/39 IDR   353,293,000      28,110
  Indonesia Treasury Bond  7.500%  4/15/40 IDR   687,725,000      50,896
  Indonesia Treasury Bond  7.125%  6/15/42 IDR   402,614,000      29,218
  Indonesia Treasury Bond  7.375%  5/15/48 IDR   197,446,000      14,372
  Indonesia Treasury Bond  6.875%  8/15/51 IDR    70,824,000       5,017
  Republic of Indonesia  2.625%  6/14/23 EUR           200         240
  Republic of Indonesia  1.750%  4/24/25 EUR         9,136      10,950
  Republic of Indonesia  1.450%  9/18/26 EUR         3,013       3,585
  Republic of Indonesia  0.900%  2/14/27 EUR         4,343       5,011
  Republic of Indonesia  3.750%  6/14/28 EUR        12,750      17,165
  Republic of Indonesia  1.000%  7/28/29 EUR         6,000       6,791
  Republic of Indonesia  1.100%  3/12/33 EUR         6,450       7,147
                   1,165,638
103


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
Ireland (0.6%)                              
  Republic of Ireland  3.900%  3/20/23 EUR        15,658      19,209
  Republic of Ireland  3.400%  3/18/24 EUR        70,363      88,968
  Republic of Ireland  1.000%  5/15/26 EUR        62,693      76,584
  Republic of Ireland  0.200%  5/15/27 EUR        81,765      95,987
  Republic of Ireland  0.900%  5/15/28 EUR        15,603      19,093
  Republic of Ireland  1.100%  5/15/29 EUR        34,091      42,356
  Republic of Ireland  0.200% 10/18/30 EUR        17,045      19,693
  Republic of Ireland  1.350%  3/18/31 EUR        27,273      34,691
  Republic of Ireland  0.000% 10/18/31 EUR       104,777     117,210
  Republic of Ireland  1.300%  5/15/33 EUR        13,909      17,691
  Republic of Ireland  0.400%  5/15/35 EUR        15,249      17,480
  Republic of Ireland  1.700%  5/15/37 EUR         3,526       4,788
  Republic of Ireland  0.550%  4/22/41 EUR        94,849     107,296
  Republic of Ireland  2.000%  2/18/45 EUR         5,933       8,814
  Republic of Ireland  1.500%  5/15/50 EUR        35,813      48,442
                   718,302
Isle Of Man (0.0%)                              
  Isle of Man  1.625%  9/14/51 GBP         1,700       2,268
Israel (0.4%)                              
  State of Israel  1.250% 11/30/22 ILS        64,888      20,767
  State of Israel  4.250%  3/31/23 ILS        49,773      16,640
  State of Israel  1.500% 11/30/23 ILS        37,363      12,076
  State of Israel  2.875%  1/29/24 EUR        15,509      19,149
  State of Israel  3.750%  3/31/24 ILS        25,227       8,612
  State of Israel  0.400% 10/31/24 ILS        40,000      12,598
  State of Israel  0.500%  4/30/25 ILS       163,635      51,540
  State of Israel  1.750%  8/31/25 ILS       156,477      51,545
  State of Israel  6.250% 10/30/26 ILS        38,427      15,407
  State of Israel  1.500%  1/18/27 EUR        17,459      21,558
  State of Israel  2.000%  3/31/27 ILS       110,454      37,030
  State of Israel  2.250%  9/28/28 ILS       155,931      53,249
  State of Israel  1.500%  1/16/29 EUR         3,409       4,264
  State of Israel  1.000%  3/31/30 ILS       160,502      49,785
  State of Israel  1.500%  5/31/37 ILS        49,602      14,729
  State of Israel  5.500%  1/31/42 ILS        44,999      22,208
  State of Israel  3.750%  3/31/47 ILS       100,768      40,141
  State of Israel  2.500%  1/16/49 EUR         1,705       2,477
                   453,775
Italy (7.0%)                              
  Cassa Depositi e Prestiti SpA  2.125%  9/27/23 EUR         3,400       4,091
  Cassa Depositi e Prestiti SpA  1.500%  6/21/24 EUR         3,400       4,070
  Cassa Depositi e Prestiti SpA  1.500%   4/9/25 EUR         5,200       6,241
  Cassa Depositi e Prestiti SpA  1.875%   2/7/26 EUR         3,400       4,163
  Cassa Depositi e Prestiti SpA  2.000%  4/20/27 EUR        10,200      12,642
  Cassa Depositi e Prestiti SpA  1.000%  2/11/30 EUR        11,500      13,197
  Italy Buoni Poliennali Del Tesoro  1.000%  7/15/22 EUR        72,407      84,528
  Italy Buoni Poliennali Del Tesoro  0.000% 11/29/22 EUR       224,857     260,881
  Italy Buoni Poliennali Del Tesoro  0.950%   3/1/23 EUR       122,613     144,078
  Italy Buoni Poliennali Del Tesoro  0.600%  6/15/23 EUR       148,231     173,810
  Italy Buoni Poliennali Del Tesoro  0.300%  8/15/23 EUR       380,910     444,371
  Italy Buoni Poliennali Del Tesoro  0.000%  1/30/24 EUR       563,207     651,426
  Italy Buoni Poliennali Del Tesoro  0.000%  4/15/24 EUR        15,967      18,442
  Italy Buoni Poliennali Del Tesoro  1.750%   7/1/24 EUR       263,272     318,215
104


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Italy Buoni Poliennali Del Tesoro  3.750%   9/1/24 EUR        40,158      51,268
3 Italy Buoni Poliennali Del Tesoro  1.850%   7/1/25 EUR       572,014     699,997
  Italy Buoni Poliennali Del Tesoro  2.500% 11/15/25 EUR         6,032       7,592
  Italy Buoni Poliennali Del Tesoro  0.500%   2/1/26 EUR       166,870     194,004
  Italy Buoni Poliennali Del Tesoro  2.100%  7/15/26 EUR       335,978     418,714
  Italy Buoni Poliennali Del Tesoro  0.000%   8/1/26 EUR        84,495      95,626
  Italy Buoni Poliennali Del Tesoro  2.200%   6/1/27 EUR        73,431      92,542
  Italy Buoni Poliennali Del Tesoro  2.050%   8/1/27 EUR       202,243     252,985
  Italy Buoni Poliennali Del Tesoro  0.950%  9/15/27 EUR        71,154      83,787
  Italy Buoni Poliennali Del Tesoro  6.500%  11/1/27 EUR           400         621
  Italy Buoni Poliennali Del Tesoro  0.250%  3/15/28 EUR       526,316     590,708
  Italy Buoni Poliennali Del Tesoro  0.500%  7/15/28 EUR        46,274      52,564
  Italy Buoni Poliennali Del Tesoro  3.000%   8/1/29 EUR       333,549     447,029
3 Italy Buoni Poliennali Del Tesoro  3.500%   3/1/30 EUR        69,482      96,766
  Italy Buoni Poliennali Del Tesoro  1.350%   4/1/30 EUR        92,045     109,576
3 Italy Buoni Poliennali Del Tesoro  1.650%  12/1/30 EUR       485,791     589,476
  Italy Buoni Poliennali Del Tesoro  0.900%   4/1/31 EUR       105,619     119,859
3 Italy Buoni Poliennali Del Tesoro  0.600%   8/1/31 EUR        76,236      83,732
3 Italy Buoni Poliennali Del Tesoro  1.650%   3/1/32 EUR        88,368     106,687
3 Italy Buoni Poliennali Del Tesoro  2.450%   9/1/33 EUR        98,610     128,121
3 Italy Buoni Poliennali Del Tesoro  3.350%   3/1/35 EUR       136,135     194,187
3 Italy Buoni Poliennali Del Tesoro  4.000%   2/1/37 EUR        29,878      46,243
3 Italy Buoni Poliennali Del Tesoro  0.950%   3/1/37 EUR       274,265     293,339
3 Italy Buoni Poliennali Del Tesoro  2.950%   9/1/38 EUR        81,947     114,294
3 Italy Buoni Poliennali Del Tesoro  3.100%   3/1/40 EUR        66,958      95,506
3 Italy Buoni Poliennali Del Tesoro  5.000%   9/1/40 EUR        11,856      21,216
3 Italy Buoni Poliennali Del Tesoro  1.800%   3/1/41 EUR       221,132     260,542
3 Italy Buoni Poliennali Del Tesoro  4.750%   9/1/44 EUR        70,213     127,161
3 Italy Buoni Poliennali Del Tesoro  1.500%  4/30/45 EUR       149,210     164,433
3 Italy Buoni Poliennali Del Tesoro  3.250%   9/1/46 EUR        40,909      61,026
3 Italy Buoni Poliennali Del Tesoro  3.850%   9/1/49 EUR       111,561     185,568
3 Italy Buoni Poliennali Del Tesoro  2.450%   9/1/50 EUR       108,635     141,968
3 Italy Buoni Poliennali Del Tesoro  1.700%   9/1/51 EUR        37,490      41,657
3 Italy Buoni Poliennali Del Tesoro  2.800%   3/1/67 EUR        58,170      78,308
  Republic of Italy  6.000%   8/4/28 GBP         8,114      13,921
                   8,201,178
Japan (16.0%)                              
  Deposit Insurance Corp. of Japan  0.100%   8/6/24 JPY     4,200,000      36,891
  Development Bank of Japan Inc.  0.645%  3/18/24 JPY       341,500       3,042
  Development Bank of Japan Inc.  0.466% 12/12/24 JPY       409,100       3,641
  Development Bank of Japan Inc.  0.450%  3/13/25 JPY       272,700       2,428
  Development Bank of Japan Inc.  0.425%  9/11/25 JPY       516,100       4,602
  Development Bank of Japan Inc.  0.875% 10/10/25 EUR        30,000      35,676
  Development Bank of Japan Inc.  0.020%  3/16/26 JPY        31,000         272
  Fukuoka Prefecture  0.432%  6/18/49 JPY       250,000       2,055
  Japan  0.100%  11/1/22 JPY     7,227,200      63,502
  Japan  0.100% 12/20/22 JPY    16,431,750     144,406
  Japan  0.700% 12/20/22 JPY     2,744,300      24,281
  Japan  0.800% 12/20/22 JPY     1,776,100      15,732
  Japan  1.400% 12/20/22 JPY     4,431,750      39,519
  Japan  1.700% 12/20/22 JPY     2,386,350      21,351
  Japan  0.100%   1/1/23 JPY    13,636,250     119,844
  Japan  0.100%   2/1/23 JPY     6,353,050      55,842
  Japan  0.100%   3/1/23 JPY    16,941,450     148,930
  Japan  0.100%  3/20/23 JPY    18,570,700     163,266
105


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  0.600%  3/20/23 JPY     8,195,400      72,548
  Japan  1.000%  3/20/23 JPY       361,350       3,216
  Japan  0.005%   4/1/23 JPY     4,235,350      37,187
  Japan  0.100%  6/20/23 JPY    23,386,200     205,679
  Japan  0.800%  6/20/23 JPY     9,350,050      83,170
  Japan  0.800%  6/20/23 JPY       409,050       3,639
  Japan  1.800%  6/20/23 JPY     1,704,500      15,406
  Japan  0.005%   7/1/23 JPY    12,200,000     107,138
  Japan  0.005%   8/1/23 JPY    14,200,000     124,841
  Japan  0.005%   9/1/23 JPY     5,000,000      43,914
  Japan  0.100%  9/20/23 JPY    11,965,850     105,280
  Japan  0.600%  9/20/23 JPY       681,800       6,055
  Japan  0.800%  9/20/23 JPY       856,350       7,633
  Japan  1.900%  9/20/23 JPY     2,082,900      18,946
  Japan  0.100% 12/20/23 JPY    15,418,400     135,708
  Japan  0.600% 12/20/23 JPY    10,677,200      94,976
  Japan  1.900% 12/20/23 JPY     1,227,400      11,216
  Japan  0.100%  3/20/24 JPY    23,903,100     210,469
  Japan  0.600%  3/20/24 JPY    12,879,450     114,751
  Japan  1.900%  3/20/24 JPY       340,900       3,130
  Japan  0.100%  6/20/24 JPY    12,220,250     107,642
  Japan  0.600%  6/20/24 JPY       484,050       4,320
  Japan  0.100%  9/20/24 JPY     9,193,050      81,008
  Japan  0.500%  9/20/24 JPY     8,659,050      77,178
  Japan  2.100%  9/20/24 JPY       889,750       8,291
  Japan  0.100% 12/20/24 JPY    11,086,950      97,734
  Japan  0.300% 12/20/24 JPY     6,859,050      60,841
  Japan  0.500% 12/20/24 JPY     5,270,400      47,039
  Japan  0.100%  3/20/25 JPY    10,909,050      96,202
  Japan  0.400%  3/20/25 JPY     6,726,100      59,914
  Japan  2.000%  3/20/25 JPY        51,100         479
  Japan  0.100%  6/20/25 JPY    14,659,000     129,320
  Japan  0.400%  6/20/25 JPY     5,659,050      50,465
  Japan  1.900%  6/20/25 JPY       784,050       7,367
  Japan  2.100%  6/20/25 JPY     2,045,450      19,349
  Japan  0.100%  9/20/25 JPY    36,477,100     321,921
  Japan  0.400%  9/20/25 JPY     2,178,400      19,448
  Japan  2.100%  9/20/25 JPY       136,350       1,296
  Japan  0.100% 12/20/25 JPY    27,402,000     241,920
  Japan  0.300% 12/20/25 JPY    15,477,150     137,764
  Japan  2.000% 12/20/25 JPY     2,277,250      21,675
  Japan  0.005%  3/20/26 JPY    28,500,000     250,663
  Japan  0.100%  3/20/26 JPY     3,477,250      30,712
  Japan  2.100%  3/20/26 JPY       586,350       5,630
  Japan  2.200%  3/20/26 JPY       545,450       5,258
  Japan  0.005%  6/20/26 JPY    35,000,000     307,861
  Japan  0.100%  6/20/26 JPY     3,704,500      32,730
  Japan  0.100%  9/20/26 JPY     4,735,150      41,849
  Japan  2.200%  9/20/26 JPY        40,850         398
  Japan  2.300%  9/20/26 JPY        23,850         233
  Japan  0.100% 12/20/26 JPY     8,832,900      78,094
  Japan  2.100% 12/20/26 JPY     3,409,050      33,212
  Japan  0.100%  3/20/27 JPY     7,660,150      67,738
  Japan  2.000%  3/20/27 JPY       681,800       6,642
  Japan  2.100%  3/20/27 JPY       238,600       2,336
106


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  0.100%  6/20/27 JPY     5,785,150      51,175
  Japan  2.300%  6/20/27 JPY        13,600         135
  Japan  0.100%  9/20/27 JPY     6,756,750      59,782
  Japan  2.200%  9/20/27 JPY        10,200         101
  Japan  0.100% 12/20/27 JPY     5,267,000      46,610
  Japan  2.100% 12/20/27 JPY     1,527,900      15,167
  Japan  0.100%  3/20/28 JPY     5,604,500      49,604
  Japan  2.200%  3/20/28 JPY     2,693,150      27,008
  Japan  2.400%  3/20/28 JPY     3,988,600      40,444
  Japan  0.100%  6/20/28 JPY     5,965,850      52,809
  Japan  2.400%  6/20/28 JPY       702,250       7,157
  Japan  0.100%  9/20/28 JPY     9,354,650      82,814
  Japan  2.100%  9/20/28 JPY     4,176,800      42,024
  Japan  2.200%  9/20/28 JPY       818,150       8,282
  Japan  0.100% 12/20/28 JPY     2,566,400      22,719
  Japan  1.900% 12/20/28 JPY     4,936,300      49,263
  Japan  2.100% 12/20/28 JPY       409,050       4,133
  Japan  0.100%  3/20/29 JPY    19,491,950     172,520
  Japan  1.900%  3/20/29 JPY     2,829,500      28,343
  Japan  2.100%  3/20/29 JPY     3,077,000      31,222
  Japan  0.100%  6/20/29 JPY    27,566,750     243,937
  Japan  2.100%  6/20/29 JPY     3,770,400      38,414
  Japan  0.100%  9/20/29 JPY    26,244,850     232,167
  Japan  2.100%  9/20/29 JPY     5,849,950      59,843
  Japan  2.800%  9/20/29 JPY     1,840,850      19,722
  Japan  0.100% 12/20/29 JPY    27,443,000     242,652
  Japan  2.100% 12/20/29 JPY     5,113,600      52,507
  Japan  2.200% 12/20/29 JPY     3,913,600      40,465
  Japan  0.100%  3/20/30 JPY    27,862,350     246,191
  Japan  2.100%  3/20/30 JPY        54,500         562
  Japan  2.200%  3/20/30 JPY     4,295,400      44,586
  Japan  2.300%  5/20/30 JPY       115,900       1,215
  Japan  0.100%  6/20/30 JPY    22,823,700     201,515
  Japan  1.600%  6/20/30 JPY       388,600       3,872
  Japan  1.800%  6/20/30 JPY        27,250         276
  Japan  2.000%  6/20/30 JPY     3,409,050      35,000
  Japan  0.100%  9/20/30 JPY    26,970,800     237,940
  Japan  1.800%  9/20/30 JPY       954,500       9,684
  Japan  1.900%  9/20/30 JPY     2,979,500      30,459
  Japan  0.100% 12/20/30 JPY    39,660,000     349,569
  Japan  2.000% 12/20/30 JPY     2,045,450      21,135
  Japan  2.100% 12/20/30 JPY     5,570,400      58,001
  Japan  0.100%  3/20/31 JPY    33,608,350     295,896
  Japan  1.900%  3/20/31 JPY     4,090,850      42,060
  Japan  2.000%  3/20/31 JPY     8,304,500      86,065
  Japan  2.200%  3/20/31 JPY       340,900       3,589
  Japan  0.100%  6/20/31 JPY    31,200,000     274,343
  Japan  1.800%  6/20/31 JPY     3,173,800      32,453
  Japan  1.900%  6/20/31 JPY     4,056,750      41,823
  Japan  1.700%  9/20/31 JPY    17,045,350     173,250
  Japan  1.800%  9/20/31 JPY     5,164,750      52,940
  Japan  1.700% 12/20/31 JPY     4,568,150      46,538
  Japan  1.800% 12/20/31 JPY    17,224,000     176,993
  Japan  1.600%  3/20/32 JPY     6,102,250      61,768
  Japan  1.700%  3/20/32 JPY     2,181,800      22,282
107


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  1.800%  3/20/32 JPY       770,400       7,938
  Japan  1.500%  6/20/32 JPY     4,295,400      43,175
  Japan  1.600%  6/20/32 JPY     2,119,100      21,496
  Japan  1.700%  9/20/32 JPY    10,083,350     103,463
  Japan  1.700% 12/20/32 JPY     7,656,800      78,742
  Japan  1.800% 12/20/32 JPY     4,090,850      42,466
  Japan  1.500%  3/20/33 JPY     8,497,500      85,902
  Japan  1.600%  3/20/33 JPY     7,202,650      73,525
  Japan  1.700%  6/20/33 JPY     1,056,800      10,916
  Japan  1.700%  6/20/33 JPY     5,515,850      56,973
  Japan  1.700%  9/20/33 JPY     4,841,550      50,115
  Japan  1.600% 12/20/33 JPY     7,431,750      76,300
  Japan  2.000% 12/20/33 JPY       340,900       3,643
  Japan  1.500%  3/20/34 JPY     9,194,450      93,587
  Japan  2.400%  3/20/34 JPY     2,522,700      28,114
  Japan  1.500%  6/20/34 JPY     6,599,950      67,282
  Japan  2.500%  6/20/34 JPY     1,372,450      15,492
  Japan  1.400%  9/20/34 JPY    12,409,050     125,316
  Japan  2.500%  9/20/34 JPY       272,700       3,088
  Japan  1.200% 12/20/34 JPY     8,052,200      79,594
  Japan  2.400% 12/20/34 JPY     1,568,150      17,636
  Japan  1.200%  3/20/35 JPY    11,439,450     113,178
  Japan  2.300%  3/20/35 JPY     1,704,500      19,030
  Japan  1.300%  6/20/35 JPY     8,836,300      88,529
  Japan  2.300%  6/20/35 JPY     2,440,900      27,325
  Japan  1.200%  9/20/35 JPY     7,909,050      78,370
  Japan  2.500%  9/20/35 JPY       681,800       7,816
  Japan  1.000% 12/20/35 JPY     4,670,400      45,175
  Japan  2.300% 12/20/35 JPY     1,711,350      19,259
  Japan  0.400%  3/20/36 JPY     7,563,250      67,565
  Japan  2.500%  3/20/36 JPY     1,505,400      17,358
  Japan  0.200%  6/20/36 JPY     8,863,550      76,864
  Japan  2.500%  6/20/36 JPY       988,600      11,431
  Japan  0.500%  9/20/36 JPY    10,043,100      90,795
  Japan  2.500%  9/20/36 JPY       409,050       4,743
  Japan  0.600% 12/20/36 JPY    11,902,650     109,053
  Japan  2.300% 12/20/36 JPY       550,900       6,262
  Japan  0.700%  3/20/37 JPY    25,751,250     239,187
  Japan  2.400%  3/20/37 JPY     2,464,050      28,403
  Japan  0.600%  6/20/37 JPY     8,195,400      74,992
  Japan  0.600%  9/20/37 JPY     8,028,350      73,414
  Japan  2.500%  9/20/37 JPY        11,550         135
  Japan  0.600% 12/20/37 JPY    13,009,150     118,872
  Japan  0.500%  3/20/38 JPY    30,483,900     274,082
  Japan  2.500%  3/20/38 JPY     1,988,850      23,436
  Japan  0.500%  6/20/38 JPY    18,770,350     168,585
  Japan  0.700%  9/20/38 JPY    12,286,300     113,756
  Japan  2.400%  9/20/38 JPY     1,726,350      20,197
  Japan  0.500% 12/20/38 JPY    13,691,900     122,700
  Japan  0.400%  3/20/39 JPY    17,317,500     152,459
  Japan  2.300%  3/20/39 JPY     3,073,600      35,669
  Japan  0.300%  6/20/39 JPY    14,890,850     128,650
  Japan  0.300%  9/20/39 JPY    16,024,150     138,196
  Japan  2.200%  9/20/39 JPY     6,087,250      70,008
  Japan  0.300% 12/20/39 JPY    11,229,950      96,675
108


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  0.400%  3/20/40 JPY    13,411,300     117,323
  Japan  2.300%  3/20/40 JPY     3,122,700      36,528
  Japan  0.400%  6/20/40 JPY    16,840,800     147,114
  Japan  0.400%  9/20/40 JPY    17,065,800     148,829
  Japan  2.000%  9/20/40 JPY    12,250,350     137,986
  Japan  0.500% 12/20/40 JPY    22,301,050     197,724
  Japan  0.500%  3/20/41 JPY    18,520,000     163,957
  Japan  2.200%  3/20/41 JPY     9,046,300     105,102
  Japan  0.400%  6/20/41 JPY    21,200,000     183,921
  Japan  0.500%  9/20/41 JPY     1,400,000      12,343
  Japan  2.000%  9/20/41 JPY     8,793,350      99,545
  Japan  2.000%  3/20/42 JPY    10,381,850     117,922
  Japan  1.900%  9/20/42 JPY    12,908,100     144,897
  Japan  1.800%  3/20/43 JPY     5,614,750      62,228
  Japan  1.900%  6/20/43 JPY     5,049,300      56,948
  Japan  1.800%  9/20/43 JPY     5,342,050      59,371
  Japan  1.700% 12/20/43 JPY     3,567,000      39,041
  Japan  1.700%  3/20/44 JPY     6,502,250      71,250
  Japan  1.700%  6/20/44 JPY     4,367,250      47,908
  Japan  1.700%  9/20/44 JPY     4,656,800      51,140
  Japan  1.500% 12/20/44 JPY     7,101,100      75,359
  Japan  1.500%  3/20/45 JPY     6,889,700      73,172
  Japan  1.600%  6/20/45 JPY     2,863,600      30,990
  Japan  1.400%  9/20/45 JPY     1,949,950      20,356
  Japan  1.400% 12/20/45 JPY     3,688,600      38,525
  Japan  0.800%  3/20/46 JPY     4,081,800      37,764
  Japan  0.300%  6/20/46 JPY     3,954,500      32,579
  Japan  0.500%  9/20/46 JPY     8,419,900      72,664
  Japan  0.600% 12/20/46 JPY     7,261,300      64,069
  Japan  0.800%  3/20/47 JPY     2,913,850      26,887
  Japan  0.800%  6/20/47 JPY     4,742,450      43,730
  Japan  0.800%  9/20/47 JPY     8,243,100      75,953
  Japan  0.800% 12/20/47 JPY     9,889,700      91,055
  Japan  0.800%  3/20/48 JPY    12,766,350     117,459
  Japan  2.400%  3/20/48 JPY       545,450       6,884
  Japan  0.700%  6/20/48 JPY    10,738,550      96,411
  Japan  0.900%  9/20/48 JPY     9,132,500      85,876
  Japan  0.700% 12/20/48 JPY     9,544,350      85,516
  Japan  0.500%  3/20/49 JPY    10,080,600      85,779
  Japan  2.200%  3/20/49 JPY     1,107,950      13,584
  Japan  0.400%  6/20/49 JPY    11,351,250      93,920
  Japan  0.400%  9/20/49 JPY    10,663,550      88,027
  Japan  0.400% 12/20/49 JPY     9,076,300      74,789
  Japan  0.400%  3/20/50 JPY     8,761,300      72,062
  Japan  2.200%  3/20/50 JPY     1,527,250      18,820
  Japan  0.600%  6/20/50 JPY    11,880,600     103,034
  Japan  0.600%  9/20/50 JPY    12,478,550     108,069
  Japan  0.700% 12/20/50 JPY    17,315,600     153,773
  Japan  0.700%  3/20/51 JPY    13,842,650     122,786
  Japan  2.200%  3/20/51 JPY     2,085,000      25,813
  Japan  0.700%  6/20/51 JPY    14,100,000     124,878
  Japan  0.700%  9/20/51 JPY     1,500,000      13,250
  Japan  2.000%  3/20/52 JPY     3,313,600      39,659
  Japan  1.900%  3/20/53 JPY     2,169,500      25,608
  Japan  1.700%  3/20/54 JPY     4,892,000      55,622
109


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  1.400%  3/20/55 JPY     5,239,750      55,784
  Japan  0.400%  3/20/56 JPY     8,572,000      68,606
  Japan  0.900%  3/20/57 JPY     8,755,350      81,857
  Japan  0.800%  3/20/58 JPY     8,517,200      77,266
  Japan  0.500%  3/20/59 JPY    11,252,700      92,325
  Japan  0.500%  3/20/60 JPY    14,193,450     116,057
  Japan  0.700%  3/20/61 JPY     9,220,000      80,732
  Japan Expressway Holding and Debt Repayment Agency  0.765%  9/20/22 JPY       140,000       1,236
  Japan Expressway Holding and Debt Repayment Agency  0.796%  9/20/22 JPY       200,000       1,766
  Japan Expressway Holding and Debt Repayment Agency  0.805% 11/30/22 JPY     1,109,500       9,819
  Japan Expressway Holding and Debt Repayment Agency  0.834%  1/31/23 JPY       613,600       5,440
  Japan Expressway Holding and Debt Repayment Agency  0.815%  2/28/23 JPY       380,200       3,372
  Japan Expressway Holding and Debt Repayment Agency  0.668%  3/17/23 JPY       545,400       4,829
  Japan Expressway Holding and Debt Repayment Agency  0.541%  4/28/23 JPY       605,400       5,354
  Japan Expressway Holding and Debt Repayment Agency  0.882%  6/30/23 JPY       557,000       4,959
  Japan Expressway Holding and Debt Repayment Agency  0.911%  7/31/23 JPY       886,300       7,900
  Japan Expressway Holding and Debt Repayment Agency  0.801%  9/29/23 JPY        84,700         755
  Japan Expressway Holding and Debt Repayment Agency  0.669% 11/30/23 JPY       681,800       6,066
  Japan Expressway Holding and Debt Repayment Agency  0.693% 12/28/23 JPY       340,900       3,036
  Japan Expressway Holding and Debt Repayment Agency  0.660%  2/29/24 JPY     1,363,600      12,148
  Japan Expressway Holding and Debt Repayment Agency  0.645%  3/29/24 JPY       681,800       6,075
  Japan Expressway Holding and Debt Repayment Agency  0.669%  4/30/24 JPY       761,800       6,796
  Japan Expressway Holding and Debt Repayment Agency  0.660%  5/31/24 JPY       766,500       6,840
  Japan Expressway Holding and Debt Repayment Agency  0.601%  7/31/24 JPY     1,363,600      12,162
  Japan Expressway Holding and Debt Repayment Agency  0.544%  9/30/24 JPY        17,000         151
  Japan Expressway Holding and Debt Repayment Agency  0.539% 10/31/24 JPY       681,800       6,078
  Japan Expressway Holding and Debt Repayment Agency  0.495% 11/29/24 JPY     1,036,300       9,230
  Japan Expressway Holding and Debt Repayment Agency  0.466% 12/27/24 JPY     1,363,600      12,138
  Japan Expressway Holding and Debt Repayment Agency  0.320%  1/31/25 JPY       272,700       2,417
  Japan Expressway Holding and Debt Repayment Agency  0.414%  2/28/25 JPY       278,900       2,480
  Japan Expressway Holding and Debt Repayment Agency  0.450%  3/31/25 JPY       390,900       3,481
  Japan Expressway Holding and Debt Repayment Agency  0.509%  5/30/25 JPY       395,400       3,531
110


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan Expressway Holding and Debt Repayment Agency  0.557%  7/31/25 JPY         9,500          85
  Japan Expressway Holding and Debt Repayment Agency  0.440%  8/29/25 JPY        43,600         389
  Japan Expressway Holding and Debt Repayment Agency  0.320%  1/30/26 JPY       512,000       4,552
  Japan Expressway Holding and Debt Repayment Agency  0.145%  2/27/26 JPY        28,000         247
  Japan Expressway Holding and Debt Repayment Agency  2.450%  3/19/26 JPY       130,000       1,262
  Japan Expressway Holding and Debt Repayment Agency  2.280%  4/20/27 JPY        60,000         590
  Japan Expressway Holding and Debt Repayment Agency  0.140%  4/30/27 JPY     1,618,900      14,291
  Japan Expressway Holding and Debt Repayment Agency  0.110%  5/31/27 JPY         7,500          66
  Japan Expressway Holding and Debt Repayment Agency  0.130%  6/30/27 JPY       254,500       2,246
  Japan Expressway Holding and Debt Repayment Agency  0.155%  8/31/27 JPY       409,100       3,615
  Japan Expressway Holding and Debt Repayment Agency  0.090%  9/30/27 JPY     2,024,300      17,821
  Japan Expressway Holding and Debt Repayment Agency  2.340% 10/20/27 JPY       470,000       4,675
  Japan Expressway Holding and Debt Repayment Agency  0.170% 10/29/27 JPY       818,100       7,234
  Japan Expressway Holding and Debt Repayment Agency  0.160% 11/30/27 JPY       409,100       3,616
  Japan Expressway Holding and Debt Repayment Agency  2.250% 12/20/27 JPY        70,000         695
  Japan Expressway Holding and Debt Repayment Agency  0.185%  1/31/28 JPY       442,400       3,917
  Japan Expressway Holding and Debt Repayment Agency  2.420%  6/20/28 JPY       600,000       6,068
  Japan Expressway Holding and Debt Repayment Agency  2.370%  9/20/28 JPY        90,000         915
  Japan Expressway Holding and Debt Repayment Agency  2.410%  4/20/29 JPY       440,000       4,536
  Japan Expressway Holding and Debt Repayment Agency  2.100% 12/28/29 JPY       300,000       3,062
  Japan Expressway Holding and Debt Repayment Agency  1.427%  7/31/34 JPY       400,000       4,020
  Japan Expressway Holding and Debt Repayment Agency  1.338% 10/31/34 JPY       100,000         997
  Japan Expressway Holding and Debt Repayment Agency  0.970%  1/31/35 JPY     1,400,000      13,382
  Japan Expressway Holding and Debt Repayment Agency  1.240%  7/31/35 JPY       400,000       3,954
  Japan Expressway Holding and Debt Repayment Agency  0.934%  1/31/36 JPY     2,500,000      23,816
  Japan Expressway Holding and Debt Repayment Agency  0.306%  4/30/36 JPY       200,000       1,750
  Japan Expressway Holding and Debt Repayment Agency  0.149%  7/31/36 JPY     1,400,000      11,950
  Japan Expressway Holding and Debt Repayment Agency  0.397% 10/31/36 JPY       200,000       1,767
  Japan Expressway Holding and Debt Repayment Agency  0.591%  1/29/38 JPY     1,400,000      12,669
111


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan Expressway Holding and Debt Repayment Agency  0.538%  5/31/38 JPY       200,000       1,792
  Japan Expressway Holding and Debt Repayment Agency  0.543%  6/30/38 JPY       100,000         900
  Japan Expressway Holding and Debt Repayment Agency  0.500%  9/17/38 JPY       200,000       1,759
  Japan Expressway Holding and Debt Repayment Agency  0.625%  9/30/38 JPY       200,000       1,814
  Japan Expressway Holding and Debt Repayment Agency  0.500%  3/18/39 JPY       200,000       1,755
  Japan Expressway Holding and Debt Repayment Agency  2.300%  2/29/40 JPY       200,000       2,323
  Japan Expressway Holding and Debt Repayment Agency  2.960%  3/19/46 JPY       240,000       3,171
  Japan Expressway Holding and Debt Repayment Agency  2.870% 12/20/46 JPY        80,000       1,048
  Japan Expressway Holding and Debt Repayment Agency  2.700%  3/20/48 JPY     1,400,000      18,035
  Japan Expressway Holding and Debt Repayment Agency  0.686%  7/31/48 JPY       200,000       1,766
  Japan Expressway Holding and Debt Repayment Agency  0.542%  5/31/49 JPY       600,000       5,075
  Japan Expressway Holding and Debt Repayment Agency  0.306%  3/31/50 JPY       100,000         792
  Japan Expressway Holding and Debt Repayment Agency  1.861%  3/19/55 JPY     1,630,000      18,320
  Japan Finance Corp.  0.001%  7/31/24 JPY     1,400,000      12,269
  Japan Finance Organization for Municipalities  0.734% 12/16/22 JPY        30,000         265
  Japan Finance Organization for Municipalities  0.815%  2/17/23 JPY     1,022,700       9,063
  Japan Finance Organization for Municipalities  0.668%  3/17/23 JPY       252,300       2,234
  Japan Finance Organization for Municipalities  0.678%  3/28/23 JPY       340,000       3,010
  Japan Finance Organization for Municipalities  0.576%  4/28/23 JPY       540,000       4,776
  Japan Finance Organization for Municipalities  0.882%  6/16/23 JPY       681,800       6,068
  Japan Finance Organization for Municipalities  0.311%  7/28/23 JPY     1,250,000      11,027
  Japan Finance Organization for Municipalities  0.922%  7/28/23 JPY       200,000       1,782
  Japan Finance Organization for Municipalities  0.835%  8/14/23 JPY        36,800         328
  Japan Finance Organization for Municipalities  0.801%  9/15/23 JPY        34,100         304
  Japan Finance Organization for Municipalities  0.669% 11/17/23 JPY     1,076,500       9,575
  Japan Finance Organization for Municipalities  0.660%  2/16/24 JPY       681,800       6,067
  Japan Finance Organization for Municipalities  0.669%  4/12/24 JPY     1,056,800       9,430
  Japan Finance Organization for Municipalities  0.660%  5/21/24 JPY     2,085,000      18,602
  Japan Finance Organization for Municipalities  0.391%  4/25/25 JPY       153,400       1,362
  Japan Finance Organization for Municipalities  0.484%  6/13/25 JPY       137,600       1,228
  Japan Finance Organization for Municipalities  0.320%  1/19/26 JPY       681,800       6,060
  Japan Finance Organization for Municipalities  0.145%  2/16/26 JPY        61,300         541
  Japan Finance Organization for Municipalities  0.020%  3/13/26 JPY       102,000         895
  Japan Finance Organization for Municipalities  0.140%  4/16/27 JPY       170,400       1,504
  Japan Finance Organization for Municipalities  0.110%  5/21/27 JPY     1,022,700       9,014
  Japan Finance Organization for Municipalities  0.160%  7/16/27 JPY       721,800       6,380
  Japan Finance Organization for Municipalities  0.170% 10/15/27 JPY       681,800       6,030
  Japan Finance Organization for Municipalities  0.160% 11/15/27 JPY     1,363,600      12,052
  Japan Finance Organization for Municipalities  0.185%  1/21/28 JPY     1,363,600      12,073
  Japan Finance Organization for Municipalities  0.195%  2/15/28 JPY        30,000         266
  Japan Finance Organization for Municipalities  2.290%  4/27/29 JPY        60,000         612
  Japan Finance Organization for Municipalities  2.220%  1/28/30 JPY     1,540,000      15,827
  Japan Finance Organization for Municipalities  0.224%  3/28/31 JPY     1,200,000      10,584
  Japan Highway Public Corp.  1.540% 12/20/22 JPY       340,000       3,034
112


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan Housing Finance Agency  0.040%  6/20/25 JPY        30,000         263
  Japan Housing Finance Agency  0.075% 10/20/26 JPY     2,840,000      24,936
  Major Joint Local Government Bond  0.800% 11/25/22 JPY       170,400       1,507
  Major Joint Local Government Bond  0.720% 12/22/22 JPY       272,700       2,412
  Major Joint Local Government Bond  0.840%  1/25/23 JPY        95,400         845
  Major Joint Local Government Bond  0.680%  3/24/23 JPY       477,200       4,225
  Major Joint Local Government Bond  0.910%  7/25/23 JPY       340,900       3,037
  Major Joint Local Government Bond  0.820%  8/25/23 JPY        61,300         546
  Major Joint Local Government Bond  0.680% 10/25/23 JPY       136,300       1,212
  Major Joint Local Government Bond  0.660% 11/24/23 JPY       981,800       8,729
  Major Joint Local Government Bond  0.710% 12/25/23 JPY     2,522,700      22,463
  Major Joint Local Government Bond  0.760%  1/25/24 JPY     1,022,700       9,122
  Major Joint Local Government Bond  0.689%  4/25/24 JPY       170,400       1,520
  Major Joint Local Government Bond  0.674%  5/24/24 JPY       272,700       2,433
  Major Joint Local Government Bond  0.659%  6/25/24 JPY       545,500       4,867
  Major Joint Local Government Bond  0.611%  7/25/24 JPY       900,800       8,031
  Major Joint Local Government Bond  0.566%  8/23/24 JPY       340,900       3,037
  Major Joint Local Government Bond  0.554%  9/25/24 JPY     1,022,700       9,112
  Major Joint Local Government Bond  0.456% 12/25/24 JPY     1,636,300      14,556
  Major Joint Local Government Bond  0.448%  2/25/25 JPY     1,568,100      13,953
  Major Joint Local Government Bond  0.470%  3/25/25 JPY     1,193,100      10,627
  Major Joint Local Government Bond  0.406%  4/25/25 JPY     2,488,600      22,126
  Major Joint Local Government Bond  0.553%  5/23/25 JPY     3,477,200      31,084
  Major Joint Local Government Bond  0.548%  6/25/25 JPY     1,772,700      15,853
  Major Joint Local Government Bond  0.553%  7/25/25 JPY       847,900       7,587
  Major Joint Local Government Bond  0.500%  8/25/25 JPY     1,090,900       9,746
  Major Joint Local Government Bond  0.510%  9/25/25 JPY     1,479,900      13,234
  Major Joint Local Government Bond  0.496% 11/25/25 JPY       681,800       6,099
  Major Joint Local Government Bond  0.469% 12/25/25 JPY     3,477,200      31,082
  Major Joint Local Government Bond  0.060%  8/25/26 JPY        30,000         264
  Major Joint Local Government Bond  0.060% 10/23/26 JPY        20,000         176
  Major Joint Local Government Bond  0.145% 12/25/26 JPY     2,249,900      19,865
  Major Joint Local Government Bond  0.180%  1/25/27 JPY     2,106,800      18,638
  Major Joint Local Government Bond  0.245%  2/25/27 JPY     1,159,000      10,288
  Major Joint Local Government Bond  0.210%  3/25/27 JPY     1,328,100      11,768
  Major Joint Local Government Bond  0.215% 10/25/27 JPY       540,300       4,795
  Major Joint Local Government Bond  0.240%  2/25/28 JPY       326,500       2,899
  Major Joint Local Government Bond  0.180%  4/25/28 JPY     3,886,300      34,374
  Major Joint Local Government Bond  0.200%  5/25/28 JPY       606,800       5,374
  Major Joint Local Government Bond  0.205%  6/23/28 JPY       713,200       6,318
  Major Joint Local Government Bond  0.175%  7/25/28 JPY        30,400         269
  Major Joint Local Government Bond  0.245%  8/25/28 JPY       231,800       2,059
  Major Joint Local Government Bond  0.250%  9/25/28 JPY       928,900       8,252
  Major Joint Local Government Bond  0.160%  1/25/29 JPY     1,097,700       9,687
  Major Joint Local Government Bond  0.140%  2/22/29 JPY     1,091,000       9,613
  Major Joint Local Government Bond  0.100%  4/25/29 JPY     1,500,000      13,172
  Major Joint Local Government Bond  0.050%  9/25/29 JPY        34,100         298
  Major Joint Local Government Bond  0.070% 11/22/29 JPY     1,000,000       8,746
  Major Joint Local Government Bond  0.095%  2/25/30 JPY        20,400         179
  Major Joint Local Government Bond  0.150%  6/25/30 JPY       681,800       5,999
  Major Joint Local Government Bond  0.150%  9/25/30 JPY       100,000         880
  Major Joint Local Government Bond  0.125% 10/25/30 JPY     2,024,800      17,772
  Major Joint Local Government Bond  0.120% 11/25/30 JPY        44,300         389
  Major Joint Local Government Bond  0.145%  2/25/31 JPY     1,821,200      15,998
  Major Joint Local Government Bond  0.199%  4/25/31 JPY       120,000       1,059
113


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Major Joint Local Government Bond  0.145%  6/25/31 JPY       500,000       4,387
  Osaka Prefecture  1.453%  9/26/34 JPY       190,000       1,911
  Osaka Prefecture  0.366%  9/28/35 JPY     1,130,000       9,966
  Osaka Prefecture  1.203%  9/28/35 JPY       820,000       8,046
  Tokyo Metropolitan Government  0.760% 12/20/22 JPY       126,100       1,116
  Tokyo Metropolitan Government  0.860%  3/20/23 JPY       545,400       4,841
  Tokyo Metropolitan Government  0.700%  9/20/23 JPY       306,800       2,727
  Tokyo Metropolitan Government  0.720% 12/20/23 JPY        20,400         182
  Tokyo Metropolitan Government  0.730% 12/20/23 JPY     1,363,600      12,147
  Tokyo Metropolitan Government  0.635%  3/19/24 JPY       477,200       4,248
  Tokyo Metropolitan Government  0.690%  3/19/24 JPY       129,500       1,155
  Tokyo Metropolitan Government  0.505%  9/20/24 JPY       477,200       4,246
  Tokyo Metropolitan Government  0.426% 12/20/24 JPY        95,400         848
  Tokyo Metropolitan Government  0.386%  3/19/25 JPY       681,800       6,055
  Tokyo Metropolitan Government  0.435%  3/19/25 JPY     1,689,900      15,032
  Tokyo Metropolitan Government  0.499%  6/20/25 JPY       511,300       4,563
  Tokyo Metropolitan Government  0.533%  6/20/25 JPY       340,900       3,046
  Tokyo Metropolitan Government  0.456%  9/19/25 JPY       340,900       3,042
  Tokyo Metropolitan Government  0.475%  9/19/25 JPY       749,900       6,696
  Tokyo Metropolitan Government  0.444% 12/19/25 JPY       456,700       4,077
  Tokyo Metropolitan Government  0.075%  9/18/26 JPY       120,900       1,064
  Tokyo Metropolitan Government  0.210%  3/19/27 JPY     1,363,600      12,084
  Tokyo Metropolitan Government  0.040%  6/20/29 JPY     1,090,900       9,543
  Tokyo Metropolitan Government  0.095%  9/20/30 JPY       504,000       4,414
  Tokyo Metropolitan Government  0.080%  3/20/31 JPY        60,000         524
  Tokyo Metropolitan Government  1.980%  6/20/31 JPY       260,000       2,681
  Tokyo Metropolitan Government  1.293%  6/20/35 JPY        70,000         695
                   18,786,862
Jersey (0.0%)                              
  Bailiwick of Jersey  3.750%   6/9/54 GBP         1,030       2,133
Kazakhstan (0.0%)                              
3 Republic of Kazakhstan  1.550%  11/9/23 EUR         2,148       2,547
  Republic of Kazakhstan  1.550%  11/9/23 EUR         1,363       1,616
  Republic of Kazakhstan  0.600%  9/30/26 EUR         1,705       1,953
3 Republic of Kazakhstan  0.600%  9/30/26 EUR         4,295       4,920
  Republic of Kazakhstan  2.375%  11/9/28 EUR         6,818       8,726
3 Republic of Kazakhstan  1.500%  9/30/34 EUR         3,273       3,795
                   23,557
Latvia (0.0%)                              
  Republic of Latvia  2.875%  4/30/24 EUR           681         849
Lithuania (0.0%)                              
  Republic of Lithuania  2.125% 10/29/26 EUR         9,409      12,152
Luxembourg (0.0%)                              
  Grand Duchy of Luxembourg  2.250%  3/19/28 EUR         2,045       2,702
Malaysia (0.7%)                              
  Federation of Malaysia  3.480%  3/15/23 MYR       143,522      35,298
  Federation of Malaysia  3.757%  4/20/23 MYR        68,181      16,839
  Federation of Malaysia  3.800%  8/17/23 MYR       112,499      27,848
  Federation of Malaysia  3.478%  6/14/24 MYR       177,272      43,648
  Federation of Malaysia  4.181%  7/15/24 MYR        96,817      24,313
  Federation of Malaysia  4.059%  9/30/24 MYR        36,818       9,234
  Federation of Malaysia  3.882%  3/14/25 MYR       100,308      25,063
  Federation of Malaysia  3.955%  9/15/25 MYR       318,408      79,689
114


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Federation of Malaysia  4.392%  4/15/26 MYR        47,727      12,157
  Federation of Malaysia  3.906%  7/15/26 MYR       158,511      39,441
  Federation of Malaysia  3.900% 11/30/26 MYR        89,659      22,380
  Federation of Malaysia  3.892%  3/15/27 MYR           500         125
  Federation of Malaysia  3.899% 11/16/27 MYR        66,136      16,435
  Federation of Malaysia  3.733%  6/15/28 MYR       174,818      42,965
  Federation of Malaysia  3.885%  8/15/29 MYR       103,489      25,326
  Federation of Malaysia  4.498%  4/15/30 MYR        95,795      24,480
  Federation of Malaysia  2.632%  4/15/31 MYR        42,800       9,575
  Federation of Malaysia  4.232%  6/30/31 MYR        14,113       3,539
  Federation of Malaysia  4.127%  4/15/32 MYR        17,045       4,216
  Federation of Malaysia  3.844%  4/15/33 MYR       206,965      49,352
  Federation of Malaysia  4.642%  11/7/33 MYR        77,522      19,776
  Federation of Malaysia  3.828%   7/5/34 MYR       144,675      33,941
  Federation of Malaysia  4.254%  5/31/35 MYR        72,955      18,036
  Federation of Malaysia  4.762%   4/7/37 MYR        31,772       8,130
  Federation of Malaysia  4.893%   6/8/38 MYR       134,659      34,847
  Federation of Malaysia  3.757%  5/22/40 MYR        95,454      21,797
  Federation of Malaysia  4.935%  9/30/43 MYR        12,154       3,153
  Federation of Malaysia  4.736%  3/15/46 MYR        23,863       5,977
  Federation of Malaysia  4.921%   7/6/48 MYR        77,727      19,896
  Federation of Malaysia  4.065%  6/15/50 MYR        33,082       7,566
  Malaysia Government Investment Issue  4.444%  5/22/24 MYR        16,941       4,279
  Malaysia Government Investment Issue  3.655% 10/15/24 MYR         8,000       1,982
  Malaysia Government Investment Issue  3.726%  3/31/26 MYR        63,882      15,800
  Malaysia Government Investment Issue  3.422%  9/30/27 MYR        80,000      19,266
  Malaysia Government Investment Issue  4.130%   7/9/29 MYR        42,353      10,538
  Malaysia Government Investment Issue  3.465% 10/15/30 MYR       127,765      30,258
  Malaysia Government Investment Issue  4.119% 11/30/34 MYR        82,706      19,881
  Malaysia Government Investment Issue  3.447%  7/15/36 MYR         8,000       1,780
  Malaysia Government Investment Issue  4.467%  9/15/39 MYR        63,882      15,503
  Malaysia Government Investment Issue  4.417%  9/30/41 MYR        41,941      10,223
  Malaysia Government Investment Issue  4.638% 11/15/49 MYR        88,470      21,861
                   836,413
Mexico (0.6%)                              
  Mexican Bonos  6.750%   3/9/23 MXN       545,500      26,588
  Mexican Bonos  8.000%  12/7/23 MXN     1,075,750      53,388
  Mexican Bonos  8.000%   9/5/24 MXN     1,050,300      52,175
  Mexican Bonos 10.000%  12/5/24 MXN     1,061,000      56,336
  Mexican Bonos  5.750%   3/5/26 MXN     1,572,350      72,044
  Mexican Bonos  7.500%   6/3/27 MXN     1,217,100      59,290
  Mexican Bonos  8.500%  5/31/29 MXN     1,200,000      61,643
  Mexican Bonos  7.750%  5/29/31 MXN       958,000      47,150
  Mexican Bonos  7.750% 11/23/34 MXN       492,800      24,166
  Mexican Bonos 10.000% 11/20/36 MXN       338,700      19,775
  Mexican Bonos  8.500% 11/18/38 MXN       858,900      43,840
  Mexican Bonos  7.750% 11/13/42 MXN       790,900      37,548
  Mexican Bonos  8.000%  11/7/47 MXN       799,200      38,815
  United Mexican States  1.625%   3/6/24 EUR         2,045       2,443
  United Mexican States  1.375%  1/15/25 EUR         7,343       8,783
  United Mexican States  1.625%   4/8/26 EUR         2,799       3,374
  United Mexican States  1.350%  9/18/27 EUR         4,138       4,891
  United Mexican States  1.750%  4/17/28 EUR        11,249      13,547
  United Mexican States  3.625%   4/9/29 EUR         6,273       8,412
  United Mexican States  1.125%  1/17/30 EUR         5,202       5,812
115


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  United Mexican States  3.375%  2/23/31 EUR        12,273      16,114
  United Mexican States  1.450% 10/25/33 EUR         5,263       5,643
  United Mexican States  2.250%  8/12/36 EUR         5,000       5,584
  United Mexican States  2.875%   4/8/39 EUR         6,740       7,893
  United Mexican States  3.000%   3/6/45 EUR         3,818       4,534
  United Mexican States  2.125% 10/25/51 EUR         8,551       8,191
  United Mexican States  5.625%  3/19/14 GBP         4,095       5,989
  United Mexican States  4.000%  3/15/15 EUR         2,318       2,891
                   696,859
Netherlands (1.8%)                              
  BNG Bank NV  4.750%   3/6/23 AUD        12,750      10,094
  BNG Bank NV  3.875%  5/26/23 EUR        19,091      23,528
  BNG Bank NV  5.250%  5/20/24 AUD         5,455       4,495
  BNG Bank NV  0.250%   6/7/24 EUR         4,091       4,785
  BNG Bank NV  0.050%  7/13/24 EUR        17,045      19,818
  BNG Bank NV  1.125%   9/4/24 EUR           954       1,144
  BNG Bank NV  0.200%  11/9/24 EUR        13,637      15,927
  BNG Bank NV  0.250%   5/7/25 EUR        19,466      22,792
  BNG Bank NV  3.250%  7/15/25 AUD         6,920       5,486
  BNG Bank NV  1.625%  8/26/25 GBP           500         699
  BNG Bank NV  1.000%  1/12/26 EUR        10,227      12,353
  BNG Bank NV  0.125%  4/11/26 EUR         4,977       5,795
  BNG Bank NV  3.250%  8/24/26 AUD           500         397
  BNG Bank NV  0.625%  6/19/27 EUR        10,091      12,067
  BNG Bank NV  3.500%  7/19/27 AUD         5,318       4,281
  BNG Bank NV  0.750%  1/11/28 EUR        15,750      18,983
  BNG Bank NV  3.300%  7/17/28 AUD        13,500      10,756
  BNG Bank NV  5.200%  12/7/28 GBP         2,150       3,715
  BNG Bank NV  0.750%  1/24/29 EUR         3,409       4,120
  BNG Bank NV  0.100%  1/15/30 EUR        10,227      11,752
  BNG Bank NV  1.375% 10/21/30 EUR         4,091       5,208
  BNG Bank NV  0.125%  4/19/33 EUR        10,000      11,299
  BNG Bank NV  0.125%   7/9/35 EUR        10,227      11,415
  BNG Bank NV  0.875% 10/17/35 EUR         3,409       4,178
  BNG Bank NV  1.500%  3/29/38 EUR         2,045       2,755
  BNG Bank NV  1.500%  7/15/39 EUR         2,727       3,708
3 Kingdom of Netherlands  3.750%  1/15/23 EUR         7,009       8,536
3 Kingdom of Netherlands  1.750%  7/15/23 EUR       100,670     121,161
3 Kingdom of Netherlands  0.000%  1/15/24 EUR        81,599      95,546
3 Kingdom of Netherlands  2.000%  7/15/24 EUR        49,431      61,079
3 Kingdom of Netherlands  0.250%  7/15/25 EUR        73,119      86,684
3 Kingdom of Netherlands  0.500%  7/15/26 EUR        42,237      50,824
3 Kingdom of Netherlands  0.000%  1/15/27 EUR       135,208     158,598
3 Kingdom of Netherlands  0.750%  7/15/27 EUR        21,900      26,800
3 Kingdom of Netherlands  0.750%  7/15/28 EUR        68,578      84,272
3 Kingdom of Netherlands  0.250%  7/15/29 EUR       108,067     128,259
3 Kingdom of Netherlands  0.000%  7/15/30 EUR       146,590     169,740
3 Kingdom of Netherlands  0.000%  7/15/31 EUR        54,858      63,058
3 Kingdom of Netherlands  2.500%  1/15/33 EUR        27,613      40,552
3 Kingdom of Netherlands  4.000%  1/15/37 EUR        52,097      95,161
3 Kingdom of Netherlands  0.000%  1/15/38 EUR        60,000      66,984
3 Kingdom of Netherlands  0.500%  1/15/40 EUR        65,284      79,891
3 Kingdom of Netherlands  3.750%  1/15/42 EUR        74,229     146,965
3 Kingdom of Netherlands  2.750%  1/15/47 EUR        62,361     117,715
3 Kingdom of Netherlands  0.000%  1/15/52 EUR        47,623      50,846
116


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Nederlandse Waterschapsbank NV  2.375%  1/27/23 CHF         2,045       2,317
  Nederlandse Waterschapsbank NV  0.125%  1/17/24 EUR        17,045      19,880
  Nederlandse Waterschapsbank NV  5.250%  4/18/24 AUD         5,790       4,755
  Nederlandse Waterschapsbank NV  5.200%  3/31/25 CAD         1,180       1,064
  Nederlandse Waterschapsbank NV  3.400%  7/22/25 AUD         2,380       1,895
  Nederlandse Waterschapsbank NV  0.250% 12/15/25 GBP        11,181      14,768
  Nederlandse Waterschapsbank NV  3.150%   9/2/26 AUD         6,110       4,832
  Nederlandse Waterschapsbank NV  0.000% 11/16/26 EUR        17,000      19,653
  Nederlandse Waterschapsbank NV  3.250%   3/9/27 EUR         6,818       9,238
  Nederlandse Waterschapsbank NV  1.000%   3/1/28 EUR         4,091       5,002
  Nederlandse Waterschapsbank NV  3.450%  7/17/28 AUD         2,730       2,193
  Nederlandse Waterschapsbank NV  3.300%   5/2/29 AUD         3,070       2,448
  Nederlandse Waterschapsbank NV  0.500%  4/29/30 EUR         3,700       4,390
  Nederlandse Waterschapsbank NV  3.000%  9/11/31 EUR         4,100       6,009
  Nederlandse Waterschapsbank NV  5.375%   6/7/32 GBP         6,818      13,006
  Nederlandse Waterschapsbank NV  1.250%  5/27/36 EUR        12,409      15,888
  Nederlandse Waterschapsbank NV  1.500%  6/15/39 EUR         3,409       4,615
  Nederlandse Waterschapsbank NV  0.750%  10/4/41 EUR        28,841      34,726
                   2,050,900
New Zealand (0.4%)                              
  Auckland Council  0.625% 11/13/24 EUR         6,818       8,065
  Auckland Council  3.500%   3/9/26 AUD           500         394
  Auckland Council  0.125%  9/26/29 EUR         2,114       2,399
  Housing New Zealand Ltd.  3.360%  6/12/25 NZD         7,260       5,311
  Housing New Zealand Ltd.  2.247%  10/5/26 NZD        18,100      12,600
  New Zealand  5.500%  4/15/23 NZD        30,681      23,215
  New Zealand  0.500%  5/15/24 NZD        53,727      37,040
  New Zealand  2.750%  4/15/25 NZD        75,918      55,305
  New Zealand  0.500%  5/15/26 NZD        28,118      18,573
  New Zealand  4.500%  4/15/27 NZD        48,346      38,414
  New Zealand  0.250%  5/15/28 NZD        24,152      15,044
  New Zealand  3.000%  4/20/29 NZD        50,795      37,696
  New Zealand  1.500%  5/15/31 NZD        58,863      38,400
  New Zealand  2.000%  5/15/32 NZD        20,000      13,536
  New Zealand  3.500%  4/14/33 NZD        33,273      25,893
  New Zealand  2.750%  4/15/37 NZD        46,751      33,443
  New Zealand  1.750%  5/15/41 NZD        26,456      15,830
  New Zealand  2.750%  5/15/51 NZD        12,000       8,216
  New Zealand Local Government Funding Agency Bond  5.500%  4/15/23 NZD         3,409       2,564
  New Zealand Local Government Funding Agency Bond  2.250%  4/15/24 NZD         7,636       5,441
  New Zealand Local Government Funding Agency Bond  2.750%  4/15/25 NZD         6,137       4,407
  New Zealand Local Government Funding Agency Bond  1.500%  4/15/26 NZD         6,818       4,615
  New Zealand Local Government Funding Agency Bond  4.500%  4/15/27 NZD         1,363       1,055
  New Zealand Local Government Funding Agency Bond  1.500%  4/20/29 NZD        13,637       8,787
  New Zealand Local Government Funding Agency Bond  3.500%  4/14/33 NZD         9,867       7,274
                   423,517
117


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
Norway (0.3%)                              
3 Kingdom of Norway  2.000%  5/24/23 NOK       267,895      32,135
3 Kingdom of Norway  3.000%  3/14/24 NOK       386,998      47,512
3 Kingdom of Norway  1.750%  3/13/25 NOK       119,317      14,240
3 Kingdom of Norway  1.500%  2/19/26 NOK        88,636      10,460
3 Kingdom of Norway  1.750%  2/17/27 NOK       104,317      12,434
3 Kingdom of Norway  2.000%  4/26/28 NOK       136,363      16,495
3 Kingdom of Norway  1.750%   9/6/29 NOK       243,342      28,958
3 Kingdom of Norway  1.375%  8/19/30 NOK       407,220      46,992
3 Kingdom of Norway  1.250%  9/17/31 NOK       296,475      33,700
  Kommunalbanken A/S  4.500%  4/17/23 AUD         5,419       4,290
  Kommunalbanken A/S  2.700%   9/5/23 AUD           644         498
  Kommunalbanken A/S  1.500% 12/15/23 GBP        10,227      14,144
  Kommunalbanken A/S  5.250%  7/15/24 AUD         4,274       3,532
  Kommunalbanken A/S  4.250%  7/16/25 AUD           846         693
  Kommunalbanken A/S  0.625%  4/20/26 EUR         5,455       6,466
  Kommunalbanken A/S  3.000%  12/9/26 AUD         6,136       4,821
  Kommunalbanken A/S  0.875%  5/24/27 EUR        19,568      23,544
  Kommunalbanken A/S  3.400%  7/24/28 AUD         5,454       4,368
  Kommunalbanken A/S  0.050% 10/24/29 EUR         6,409       7,263
                   312,545
Peru (0.1%)                              
  Republic of Peru  5.200%  9/12/23 PEN         4,325       1,113
  Republic of Peru  5.700%  8/12/24 PEN        25,355       6,534
  Republic of Peru  2.750%  1/30/26 EUR         9,545      12,157
  Republic of Peru  8.200%  8/12/26 PEN        63,040      17,930
  Republic of Peru  6.350%  8/12/28 PEN        66,780      17,703
  Republic of Peru  5.940%  2/12/29 PEN        61,875      15,972
  Republic of Peru  3.750%   3/1/30 EUR         1,363       1,857
  Republic of Peru  6.950%  8/12/31 PEN        72,125      19,490
  Republic of Peru  6.150%  8/12/32 PEN        55,121      13,942
  Republic of Peru  1.250%  3/11/33 EUR         6,336       7,043
  Republic of Peru  5.400%  8/12/34 PEN        49,943      11,405
  Republic of Peru  6.900%  8/12/37 PEN        77,230      19,329
  Republic of Peru  5.350%  8/12/40 PEN        33,749       7,114
  Republic of Peru  6.850%  2/12/42 PEN        17,630       4,327
  Republic of Peru  6.714%  2/12/55 PEN        10,725       2,534
                   158,450
Philippines (0.0%)                              
  Republic of Philippines  0.250%  4/28/25 EUR         3,583       4,120
  Republic of Philippines  0.875%  5/17/27 EUR         5,359       6,258
  Republic of Philippines  0.700%   2/3/29 EUR         3,478       3,970
  Republic of Philippines  1.200%  4/28/33 EUR         4,862       5,564
                   19,912
Poland (0.5%)                              
  Bank Gospodarstwa Krajowego  1.375%   6/1/25 EUR         3,535       4,266
  Bank Gospodarstwa Krajowego  1.750%   5/6/26 EUR         2,727       3,360
  Bank Gospodarstwa Krajowego  1.625%  4/30/28 EUR         3,498       4,322
  Bank Gospodarstwa Krajowego  2.000%   6/1/30 EUR           614         787
  Republic of Poland  4.500%  1/18/22 EUR         4,430       5,171
  Republic of Poland  3.750%  1/19/23 EUR         3,136       3,803
  Republic of Poland  2.500%  1/25/23 PLN        98,181      24,827
  Republic of Poland  4.000% 10/25/23 PLN       172,755      44,980
  Republic of Poland  3.000%  1/15/24 EUR           400         494
118


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Poland  2.500%  4/25/24 PLN        74,959      18,988
  Republic of Poland  3.375%   7/9/24 EUR         4,091       5,155
  Republic of Poland  2.250% 10/25/24 PLN        34,091       8,577
  Republic of Poland  5.250%  1/20/25 EUR         5,046       6,794
  Republic of Poland  0.000%  2/10/25 EUR        10,227      11,770
  Republic of Poland  0.750%  4/25/25 PLN       197,888      47,266
  Republic of Poland  3.250%  7/25/25 PLN        89,317      23,211
  Republic of Poland  1.500%   9/9/25 EUR         3,409       4,151
  Republic of Poland  1.500%  1/19/26 EUR        32,591      39,815
  Republic of Poland  2.500%  7/25/26 PLN       110,111      27,827
  Republic of Poland  1.125%   8/7/26 EUR         2,387       2,883
  Republic of Poland  0.250% 10/25/26 PLN       180,593      40,760
  Republic of Poland  0.875%  5/10/27 EUR        22,363      26,709
  Republic of Poland  2.500%  7/25/27 PLN       105,681      26,582
  Republic of Poland  1.375% 10/22/27 EUR         2,761       3,401
  Republic of Poland  2.750%  4/25/28 PLN       179,515      45,650
  Republic of Poland  1.000% 10/25/28 EUR         1,977       2,392
  Republic of Poland  5.750%  4/25/29 PLN        17,625       5,376
  Republic of Poland  2.750% 10/25/29 PLN        87,265      22,034
  Republic of Poland  1.250% 10/25/30 PLN       156,817      34,713
  Republic of Poland  2.375%  1/18/36 EUR         9,077      12,524
  Republic of Poland  2.000% 10/25/46 EUR           300         418
  Republic of Poland  4.000%  4/25/47 PLN        43,604      12,299
                   521,305
Portugal (0.6%)                              
3 Portugal Obrigacoes do Tesouro OT  4.950% 10/25/23 EUR        21,813      27,975
3 Portugal Obrigacoes do Tesouro OT  5.650%  2/15/24 EUR        54,545      71,915
3 Portugal Obrigacoes do Tesouro OT  2.875%  7/21/26 EUR        46,288      61,233
3 Portugal Obrigacoes do Tesouro OT  4.125%  4/14/27 EUR        22,506      31,996
3 Portugal Obrigacoes do Tesouro OT  0.700% 10/15/27 EUR        59,811      71,879
3 Portugal Obrigacoes do Tesouro OT  1.950%  6/15/29 EUR        77,815     101,668
3 Portugal Obrigacoes do Tesouro OT  3.875%  2/15/30 EUR        27,273      40,773
3 Portugal Obrigacoes do Tesouro OT  0.475% 10/18/30 EUR        51,136      59,654
3 Portugal Obrigacoes do Tesouro OT  0.300% 10/17/31 EUR        40,000      45,261
3 Portugal Obrigacoes do Tesouro OT  2.250%  4/18/34 EUR        47,727      65,534
3 Portugal Obrigacoes do Tesouro OT  0.900% 10/12/35 EUR        43,080      50,634
3 Portugal Obrigacoes do Tesouro OT  4.100%  4/15/37 EUR        11,386      19,489
3 Portugal Obrigacoes do Tesouro OT  4.100%  2/15/45 EUR        29,999      56,725
                   704,736
Romania (0.2%)                              
  Romania  3.625%  4/24/24 EUR         3,545       4,432
  Romania  2.750% 10/29/25 EUR        11,512      14,463
3 Romania  2.750%  2/26/26 EUR         2,536       3,168
3 Romania  2.000%  12/8/26 EUR         2,488       3,034
  Romania  2.375%  4/19/27 EUR        15,341      18,928
  Romania  2.875%  5/26/28 EUR        22,858      28,764
3 Romania  1.375%  12/2/29 EUR         2,202       2,455
  Romania  2.500%   2/8/30 EUR         4,773       5,648
3 Romania  3.624%  5/26/30 EUR         2,127       2,713
  Romania  3.624%  5/26/30 EUR         9,741      12,423
3 Romania  1.750%  7/13/30 EUR         5,810       6,432
  Romania  2.124%  7/16/31 EUR         2,079       2,354
3 Romania  2.124%  7/16/31 EUR         2,939       3,327
3 Romania  2.000%  1/28/32 EUR         3,068       3,378
3 Romania  2.000%  4/14/33 EUR         4,514       4,890
119


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Romania  3.875% 10/29/35 EUR         5,455       6,859
  Romania  4.125%  3/11/39 EUR         2,045       2,587
3 Romania  2.625%  12/2/40 EUR         1,363       1,439
3 Romania  2.750%  4/14/41 EUR         6,353       6,769
  Romania  2.750%  4/14/41 EUR         4,235       4,504
3 Romania  2.875%  4/13/42 EUR         3,630       3,872
3 Romania  4.625%   4/3/49 EUR         5,785       7,736
  Romania  4.625%   4/3/49 EUR         6,818       9,118
3 Romania  3.375%  1/28/50 EUR         6,818       7,700
                   166,993
Russia (0.5%)                              
  Russian Federation  7.400%  12/7/22 RUB       507,952       7,111
  Russian Federation  7.000%  1/25/23 RUB     1,039,768      14,462
  Russian Federation  7.000%  8/16/23 RUB     2,093,172      28,984
  Russian Federation  6.500%  2/28/24 RUB     1,760,446      23,921
  Russian Federation  7.400%  7/17/24 RUB     3,314,334      45,763
  Russian Federation  7.100% 10/16/24 RUB       204,544       2,800
  Russian Federation  7.150% 11/12/25 RUB     1,636,355      22,199
3 Russian Federation  2.875%  12/4/25 EUR         8,400      10,603
  Russian Federation  2.875%  12/4/25 EUR           100         126
  Russian Federation  7.750%  9/16/26 RUB     6,000,000      83,070
  Russian Federation  7.950%  10/7/26 RUB     1,602,265      22,358
  Russian Federation  8.150%   2/3/27 RUB     3,037,144      42,798
  Russian Federation  6.000%  10/6/27 RUB     1,159,085      14,707
  Russian Federation  7.050%  1/19/28 RUB     1,806,809      24,123
  Russian Federation  6.900%  5/23/29 RUB     1,976,582      26,066
  Russian Federation  7.650%  4/10/30 RUB     3,180,749      43,744
  Russian Federation  1.850% 11/20/32 EUR         6,800       7,820
  Russian Federation  7.700%  3/23/33 RUB     1,254,540      17,328
  Russian Federation  7.250%  5/10/34 RUB     4,910,557      65,256
  Russian Federation  6.100%  7/18/35 RUB     4,817,683      57,330
  Russian Federation  7.700%  3/16/39 RUB     1,246,398      17,130
                   577,699
Saudi Arabia (0.1%)                              
3 Kingdom of Saudi Arabia  0.000%   3/3/24 EUR        23,819      27,523
3 Kingdom of Saudi Arabia  0.750%   7/9/27 EUR         6,818       8,048
3 Kingdom of Saudi Arabia  0.625%   3/3/30 EUR        10,291      11,688
  Kingdom of Saudi Arabia  2.000%   7/9/39 EUR         9,954      12,025
                   59,284
Singapore (0.5%)                              
  Housing & Development Board  2.505%  6/27/24 SGD         1,250         959
  Housing & Development Board  3.100%  7/24/24 SGD         6,250       4,873
  Housing & Development Board  2.495%  3/11/26 SGD         1,250         966
  Housing & Development Board  2.035%  9/16/26 SGD         6,500       4,920
  Housing & Development Board  2.675%  1/22/29 SGD         3,500       2,733
  Housing & Development Board  2.598% 10/30/29 SGD         4,000       3,112
  Housing & Development Board  3.080%  5/31/30 SGD        10,250       8,270
  Housing & Development Board  2.545%   7/4/31 SGD         1,750       1,355
  Republic of Singapore  1.750%   2/1/23 SGD        68,181      51,271
  Republic of Singapore  2.750%   7/1/23 SGD        23,862      18,285
  Republic of Singapore  2.000%   2/1/24 SGD        82,912      63,011
  Republic of Singapore  3.000%   9/1/24 SGD        11,249       8,800
  Republic of Singapore  2.375%   6/1/25 SGD        34,091      26,367
  Republic of Singapore  0.500%  11/1/25 SGD        40,000      28,852
120


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Singapore  2.125%   6/1/26 SGD        37,300      28,604
  Republic of Singapore  1.250%  11/1/26 SGD        10,200       7,483
  Republic of Singapore  3.500%   3/1/27 SGD        37,772      30,801
  Republic of Singapore  2.625%   5/1/28 SGD        42,651      33,395
  Republic of Singapore  2.875%   7/1/29 SGD        17,630      14,074
  Republic of Singapore  2.875%   9/1/30 SGD        65,471      52,540
  Republic of Singapore  3.375%   9/1/33 SGD        28,818      24,617
  Republic of Singapore  2.250%   8/1/36 SGD        45,765      34,533
  Republic of Singapore  2.375%   7/1/39 SGD        27,000      20,712
  Republic of Singapore  2.750%   4/1/42 SGD        14,649      11,917
  Republic of Singapore  2.750%   3/1/46 SGD        36,451      29,743
  Republic of Singapore  1.875%   3/1/50 SGD        31,903      22,278
  Republic of Singapore  1.875%  10/1/51 SGD         2,000       1,404
                   535,875
Slovakia (0.2%)                              
  Slovak Republic  0.000% 11/13/23 EUR        42,818      50,020
  Slovak Republic  0.000%  6/17/24 EUR         6,607       7,729
  Slovak Republic  0.250%  5/14/25 EUR        16,424      19,348
  Slovak Republic  0.625%  5/22/26 EUR         8,863      10,678
  Slovak Republic  1.375%  1/21/27 EUR        14,455      18,139
  Slovak Republic  1.000%  6/12/28 EUR        23,025      28,484
  Slovak Republic  0.750%   4/9/30 EUR        10,790      13,127
  Slovak Republic  1.000%  10/9/30 EUR        14,554      18,052
  Slovak Republic  1.000%  5/14/32 EUR        38,194      47,640
  Slovak Republic  1.875%   3/9/37 EUR         6,920       9,528
  Slovak Republic  2.000% 10/17/47 EUR        10,106      14,935
  Slovak Republic  2.250%  6/12/68 EUR         1,705       2,878
                   240,558
Slovenia (0.1%)                              
  Republic of Slovenia  4.625%   9/9/24 EUR         2,727       3,613
  Republic of Slovenia  2.125%  7/28/25 EUR         3,409       4,298
  Republic of Slovenia  5.125%  3/30/26 EUR         5,455       7,803
  Republic of Slovenia  1.250%  3/22/27 EUR         9,545      11,822
  Republic of Slovenia  1.000%   3/6/28 EUR        23,863      29,190
  Republic of Slovenia  1.188%  3/14/29 EUR         6,818       8,445
  Republic of Slovenia  0.275%  1/14/30 EUR        10,227      11,837
  Republic of Slovenia  0.000%  2/12/31 EUR        29,647      33,002
  Republic of Slovenia  1.500%  3/25/35 EUR         8,181      10,551
  Republic of Slovenia  1.750%  11/3/40 EUR         6,818       9,328
  Republic of Slovenia  3.125%   8/7/45 EUR         6,818      11,884
  Republic of Slovenia  0.488% 10/20/50 EUR        11,054      11,557
                   153,330
South Korea (2.6%)                              
  Export-Import Bank of Korea  0.625%  7/11/23 EUR           681         798
  Export-Import Bank of Korea  0.375%  3/26/24 EUR         6,818       7,967
  Export-Import Bank of Korea  4.000%   6/7/27 AUD           720         581
  Korea Development Bank  0.625%  7/17/23 EUR         9,188      10,764
  Korea Gas Corp.  0.000% 11/28/23 CHF         2,725       2,984
3 Korea Housing Finance Corp.  0.750% 10/30/23 EUR         3,273       3,847
3 Korea Housing Finance Corp.  0.010%   2/5/25 EUR         3,409       3,930
  Korea Housing Finance Corp.  0.010%   2/5/25 EUR        33,273      38,359
3 Korea Housing Finance Corp.  0.010%   7/7/25 EUR         9,887      11,376
  Korea Housing Finance Corp.  0.010%  6/29/26 EUR         8,750      10,023
  Korea National Housing Bond I  1.250% 11/30/21 KRW    10,000,000       8,560
121


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Korea National Housing Bond I  1.500% 11/30/21 KRW    40,000,000      34,248
  Korea National Housing Bond I  1.500% 12/31/21 KRW    40,000,000      34,267
  Korea National Housing Bond I  1.750%  4/30/24 KRW     8,800,000       7,486
  Korea Treasury Bond  1.750%  9/10/26 KRW    10,000,000       8,326
  Republic of Korea  1.250% 12/10/22 KRW    50,000,000      42,608
  Republic of Korea  2.375%  3/10/23 KRW   110,000,000      94,996
  Republic of Korea  3.000%  3/10/23 KRW    84,000,000      73,142
  Republic of Korea  1.000%  6/10/23 KRW   138,000,000     116,718
  Republic of Korea  2.250%  9/10/23 KRW   115,000,000      99,216
  Republic of Korea  3.375%  9/10/23 KRW    40,000,000      35,209
  Republic of Korea  0.875% 12/10/23 KRW    45,000,000      37,734
  Republic of Korea  1.875%  3/10/24 KRW   155,000,000     132,471
  Republic of Korea  1.125%  6/10/24 KRW   150,000,000     125,453
  Republic of Korea  1.375%  9/10/24 KRW    50,000,000      41,928
  Republic of Korea  3.000%  9/10/24 KRW    95,000,000      83,304
  Republic of Korea  1.500%  3/10/25 KRW    80,000,000      66,937
  Republic of Korea  2.250%  6/10/25 KRW    79,000,000      67,658
  Republic of Korea  1.125%  9/10/25 KRW    75,000,000      61,502
  Republic of Korea  0.000%  9/16/25 EUR         8,447       9,764
  Republic of Korea  2.250% 12/10/25 KRW    30,000,000      25,632
  Republic of Korea  5.750%  3/10/26 KRW    14,000,000      13,681
  Republic of Korea  1.875%  6/10/26 KRW   132,000,000     110,751
  Republic of Korea  1.500% 12/10/26 KRW   130,000,000     106,680
  Republic of Korea  5.250%  3/10/27 KRW    15,500,000      15,167
  Republic of Korea  2.125%  6/10/27 KRW    75,000,000      63,254
  Republic of Korea  2.375% 12/10/27 KRW    45,000,000      38,365
  Republic of Korea  5.500%  3/10/28 KRW    20,000,000      20,175
  Republic of Korea  2.625%  6/10/28 KRW    50,260,000      43,483
  Republic of Korea  2.375% 12/10/28 KRW    50,000,000      42,582
  Republic of Korea  1.875%  6/10/29 KRW    48,000,000      39,465
  Republic of Korea  1.375% 12/10/29 KRW    35,000,000      27,609
  Republic of Korea  5.500% 12/10/29 KRW    52,137,000      54,585
  Republic of Korea  1.375%  6/10/30 KRW   110,000,000      86,362
  Republic of Korea  1.500% 12/10/30 KRW    50,000,000      39,505
  Republic of Korea  4.750% 12/10/30 KRW    28,000,000      28,445
  Republic of Korea  2.000%  6/10/31 KRW    74,403,340      61,255
  Republic of Korea  4.000% 12/10/31 KRW    41,000,000      39,939
  Republic of Korea  3.750% 12/10/33 KRW    96,500,000      93,752
  Republic of Korea  2.625%  9/10/35 KRW    49,000,000      42,735
  Republic of Korea  1.500%  9/10/36 KRW    40,000,000      30,137
  Republic of Korea  2.250%  9/10/37 KRW    63,000,000      52,396
  Republic of Korea  2.375%  9/10/38 KRW    36,600,000      30,940
  Republic of Korea  1.125%  9/10/39 KRW    56,800,000      39,270
  Republic of Korea  1.500%  9/10/40 KRW    50,000,000      36,607
  Republic of Korea  3.000% 12/10/42 KRW    59,500,000      55,401
  Republic of Korea  2.750% 12/10/44 KRW    57,990,000      52,075
  Republic of Korea  2.000%  3/10/46 KRW    69,000,000      53,992
  Republic of Korea  2.125%  3/10/47 KRW    87,955,000      70,404
  Republic of Korea  2.625%  3/10/48 KRW    98,695,000      86,222
  Republic of Korea  2.000%  3/10/49 KRW   120,360,000      93,619
  Republic of Korea  1.500%  3/10/50 KRW   188,730,000     128,564
  Republic of Korea  1.875%  3/10/51 KRW    69,509,520      52,390
  Republic of Korea  2.000%  9/10/68 KRW    35,697,000      26,735
  Republic of Korea  1.625%  9/10/70 KRW    17,012,000      11,150
                   3,085,480
122


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
Spain (4.7%)                              
  Adif Alta Velocidad  3.500%  5/27/24 EUR         8,100      10,240
  Adif Alta Velocidad  1.875%  1/28/25 EUR        10,200      12,574
  Autonomous Community of Andalusia Spain  0.500%  4/30/31 EUR        30,000      33,875
  Autonomous Community of Madrid Spain  2.875%  7/17/23 EUR         6,102       7,455
  Autonomous Community of Madrid Spain  4.125%  5/21/24 EUR        14,659      18,798
  Autonomous Community of Madrid Spain  0.997%  9/30/24 EUR         1,173       1,402
  Autonomous Community of Madrid Spain  1.826%  4/30/25 EUR         9,545      11,761
  Autonomous Community of Madrid Spain  4.300%  9/15/26 EUR        14,505      20,141
  Autonomous Community of Madrid Spain  2.146%  4/30/27 EUR        11,591      14,829
  Autonomous Community of Madrid Spain  1.773%  4/30/28 EUR         9,289      11,738
  Autonomous Community of Madrid Spain  1.571%  4/30/29 EUR        13,637      17,088
  Autonomous Community of Madrid Spain  2.080%  3/12/30 EUR         3,409       4,429
  Autonomous Community of Madrid Spain  0.419%  4/30/30 EUR         2,689       3,084
  Autonomous Community of Madrid Spain  0.420%  4/30/31 EUR        10,000      11,300
  Basque Government  0.850%  4/30/30 EUR        13,637      16,274
  Fondo De Titulizacion Del Deficit Del Sistema Electrico FTA  0.500%  3/17/23 EUR        20,400      23,869
  Fondo De Titulizacion Del Deficit Del Sistema Electrico FTA  0.850% 12/17/23 EUR         3,400       4,027
  Instituto de Credito Oficial  0.750% 10/31/23 EUR         2,045       2,418
  Instituto de Credito Oficial  0.000%  4/30/26 EUR        17,600      20,386
3 Kingdom of Spain  5.400%  1/31/23 EUR        95,849     118,987
  Kingdom of Spain  0.000%  4/30/23 EUR       169,195     197,140
  Kingdom of Spain  0.350%  7/30/23 EUR        39,781      46,653
3 Kingdom of Spain  4.400% 10/31/23 EUR        54,882      69,639
  Kingdom of Spain  0.000%  5/31/24 EUR       550,272     640,693
3 Kingdom of Spain  0.250%  7/30/24 EUR       140,250     164,593
3 Kingdom of Spain  1.600%  4/30/25 EUR        60,525      74,468
  Kingdom of Spain  0.000%  1/31/26 EUR       411,521     477,816
3 Kingdom of Spain  1.950%  4/30/26 EUR        70,594      89,064
  Kingdom of Spain  0.000%  1/31/27 EUR       148,254     170,867
3 Kingdom of Spain  1.500%  4/30/27 EUR        25,687      32,083
3 Kingdom of Spain  0.800%  7/30/27 EUR       170,454     204,949
  Kingdom of Spain  0.000%  1/31/28 EUR       254,278     290,729
3 Kingdom of Spain  1.400%  4/30/28 EUR        83,250     103,779
3 Kingdom of Spain  1.400%  7/30/28 EUR       161,292     201,479
3 Kingdom of Spain  5.150% 10/31/28 EUR       141,879     220,154
  Kingdom of Spain  6.000%  1/31/29 EUR         8,235      13,471
3 Kingdom of Spain  1.450%  4/30/29 EUR        88,755     111,419
3 Kingdom of Spain  1.250% 10/31/30 EUR       257,109     317,740
3 Kingdom of Spain  0.500% 10/31/31 EUR       365,655     417,597
3 Kingdom of Spain  2.350%  7/30/33 EUR        48,358      66,306
3 Kingdom of Spain  1.850%  7/30/35 EUR         8,990      11,780
3 Kingdom of Spain  4.200%  1/31/37 EUR        79,846     136,822
3 Kingdom of Spain  0.850%  7/30/37 EUR       130,361     148,159
3 Kingdom of Spain  1.200% 10/31/40 EUR       139,405     164,941
3 Kingdom of Spain  4.700%  7/30/41 EUR       124,363     238,717
3 Kingdom of Spain  1.000%  7/30/42 EUR        10,904      12,383
3 Kingdom of Spain  5.150% 10/31/44 EUR        48,593     102,651
3 Kingdom of Spain  2.900% 10/31/46 EUR        71,061     112,866
3 Kingdom of Spain  2.700% 10/31/48 EUR        33,461      51,920
3 Kingdom of Spain  1.000% 10/31/50 EUR        56,024      59,696
3 Kingdom of Spain  3.450%  7/30/66 EUR        49,773      90,135
123


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
3 Kingdom of Spain  1.450% 10/31/71 EUR        54,444      57,651
                   5,463,035
Supranational (3.8%)                              
  African Development Bank  0.250%  1/24/24 EUR         5,522       6,452
  African Development Bank  4.750%   3/6/24 AUD         4,500       3,648
  African Development Bank  0.250% 11/21/24 EUR        15,409      18,007
  African Development Bank  0.875% 12/16/24 GBP         5,000       6,807
  African Development Bank  4.000%  1/10/25 AUD         9,770       7,886
  African Development Bank  4.500%   6/2/26 AUD         4,248       3,562
  African Development Bank  0.500%  6/22/26 GBP        21,700      28,903
  African Development Bank  0.125%  10/7/26 EUR         2,727       3,173
  African Development Bank  3.300%  7/27/27 AUD           681         542
  African Development Bank  3.350%   8/8/28 AUD           500         398
  African Development Bank  0.500%  3/21/29 EUR        14,443      17,053
  Asian Development Bank  1.000% 12/15/22 GBP         1,636       2,249
  Asian Development Bank  2.650%  1/11/23 AUD         1,270         977
  Asian Development Bank  3.000%  1/17/23 NZD         6,818       4,956
  Asian Development Bank  0.200%  5/25/23 EUR         9,648      11,248
  Asian Development Bank  4.500%   9/5/23 AUD         1,060         847
  Asian Development Bank  2.450%  1/17/24 AUD         1,225         945
  Asian Development Bank  3.500%  5/30/24 NZD        13,637      10,040
  Asian Development Bank  3.750%  3/12/25 AUD         7,655       6,151
  Asian Development Bank  0.750%  2/10/26 CAD         8,800       6,865
  Asian Development Bank  0.625%  9/15/26 GBP         5,046       6,765
  Asian Development Bank  3.000% 10/14/26 AUD         1,240         979
  Asian Development Bank  0.125% 12/15/26 GBP        10,909      14,209
  Asian Development Bank  4.650%  2/16/27 CAD         1,904       1,759
  Asian Development Bank  3.400%  9/10/27 AUD         6,840       5,519
  Asian Development Bank  0.250% 10/28/27 GBP         9,205      11,952
  Asian Development Bank  0.750%  12/7/27 GBP         8,470      11,306
  Asian Development Bank  3.300%   8/8/28 AUD         1,770       1,420
  Asian Development Bank  0.000% 10/24/29 EUR        10,363      11,791
  Asian Development Bank  0.025%  1/31/30 EUR        16,636      18,944
  Asian Infrastructure Investment Bank  1.000%   5/6/26 AUD         5,000       3,612
  Corp. Andina de Fomento  0.750%  6/13/23 EUR         3,409       3,995
  Corp. Andina de Fomento  1.125%  2/13/25 EUR        10,227      12,091
  Corp. Andina de Fomento  0.500%  2/26/26 CHF         5,930       6,562
  Corp. Andina de Fomento  4.500%  9/14/27 AUD         1,091         841
  Council of Europe Development Bank  0.125%  5/25/23 EUR        10,722      12,498
  Council of Europe Development Bank  1.000% 10/21/24 CAD         1,250         995
  Council of Europe Development Bank  0.750%   6/9/25 EUR         4,782       5,704
  Council of Europe Development Bank  0.375%   6/8/26 EUR        59,416      70,139
  Council of Europe Development Bank  0.000%   4/9/27 EUR         6,334       7,337
  EUROFIMA  3.000%  5/22/24 CHF         3,410       4,046
  EUROFIMA  3.900% 12/19/25 AUD           680         553
  EUROFIMA  3.000%  5/15/26 CHF         4,430       5,538
  EUROFIMA  2.600%  1/13/27 AUD        16,920      12,951
  EUROFIMA  4.550%  3/30/27 CAD         1,842       1,666
  EUROFIMA  3.350%  5/21/29 AUD         2,940       2,334
  European Bank for Reconstruction & Development  1.250% 12/15/22 GBP         6,818       9,393
  European Bank for Reconstruction & Development  0.000% 10/17/24 EUR         6,818       7,922
  European Bank for Reconstruction & Development  5.625%  12/7/28 GBP           681       1,212
124


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
5 European Financial Stability Facility  0.000% 11/17/22 EUR        44,318      51,514
5 European Financial Stability Facility  0.500%  1/20/23 EUR        25,909      30,323
5 European Financial Stability Facility  0.000%  4/24/23 EUR        16,705      19,446
5 European Financial Stability Facility  1.875%  5/23/23 EUR        24,545      29,397
5 European Financial Stability Facility  0.000%  7/17/23 EUR         8,863      10,318
5 European Financial Stability Facility  0.125% 10/17/23 EUR        10,432      12,173
5 European Financial Stability Facility  0.200%  1/17/24 EUR         1,296       1,516
5 European Financial Stability Facility  2.125%  2/19/24 EUR        13,295      16,239
5 European Financial Stability Facility  0.000%  4/19/24 EUR        98,320     114,505
5 European Financial Stability Facility  1.750%  6/27/24 EUR        11,591      14,122
5 European Financial Stability Facility  0.400%  2/17/25 EUR        10,363      12,223
5 European Financial Stability Facility  0.200%  4/28/25 EUR        10,909      12,789
5 European Financial Stability Facility  0.500%  7/11/25 EUR        20,455      24,247
5 European Financial Stability Facility  0.000% 10/15/25 EUR         8,000       9,311
5 European Financial Stability Facility  0.400%  5/31/26 EUR        54,545      64,592
5 European Financial Stability Facility  0.750%   5/3/27 EUR        37,807      45,679
5 European Financial Stability Facility  0.875%  7/26/27 EUR        17,045      20,754
5 European Financial Stability Facility  0.950%  2/14/28 EUR        13,637      16,722
5 European Financial Stability Facility  0.050% 10/17/29 EUR         3,988       4,601
5 European Financial Stability Facility  2.750%  12/3/29 EUR         3,749       5,267
5 European Financial Stability Facility  0.000%  1/20/31 EUR        26,800      30,606
5 European Financial Stability Facility  3.875%  3/30/32 EUR        13,637      21,758
5 European Financial Stability Facility  3.000%   9/4/34 EUR         3,545       5,491
5 European Financial Stability Facility  0.875%  4/10/35 EUR        28,991      35,805
5 European Financial Stability Facility  3.375%   4/3/37 EUR        21,682      36,342
5 European Financial Stability Facility  1.450%   9/5/40 EUR         3,409       4,649
5 European Financial Stability Facility  1.700%  2/13/43 EUR        11,529      16,666
5 European Financial Stability Facility  2.350%  7/29/44 EUR         9,272      15,075
5 European Financial Stability Facility  1.200%  2/17/45 EUR        24,887      33,248
5 European Financial Stability Facility  1.375%  5/31/47 EUR        12,522      17,518
5 European Financial Stability Facility  1.800%  7/10/48 EUR        30,989      47,720
5 European Financial Stability Facility  0.700%  1/20/50 EUR        26,239      32,396
5 European Financial Stability Facility  0.050%  1/18/52 EUR         8,470       8,736
5 European Financial Stability Facility  1.750%  7/17/53 EUR         9,887      15,674
5 European Financial Stability Facility  2.000%  2/28/56 EUR        20,987      35,905
  European Investment Bank  2.700%  1/12/23 AUD         2,114       1,628
3 European Investment Bank  2.375%  1/18/23 CAD         1,909       1,567
  European Investment Bank  1.625%  3/15/23 EUR        38,284      45,525
  European Investment Bank  2.375%   7/6/23 CAD         5,658       4,664
  European Investment Bank  0.000% 10/16/23 EUR        20,455      23,813
  European Investment Bank  0.500% 11/15/23 EUR        13,637      16,050
  European Investment Bank  0.050% 12/15/23 EUR        37,499      43,706
  European Investment Bank  0.875% 12/15/23 GBP         7,534      10,313
  European Investment Bank  2.125%  1/15/24 EUR        11,591      14,127
  European Investment Bank  0.000%  3/15/24 EUR        92,727     108,007
  European Investment Bank  0.050%  5/24/24 EUR        13,637      15,900
  European Investment Bank  0.200%  7/15/24 EUR        27,273      31,944
  European Investment Bank  1.750%  7/30/24 CAD         9,545       7,802
  European Investment Bank  4.750%   8/7/24 AUD         2,215       1,814
  European Investment Bank  0.875%  9/13/24 EUR        22,499      26,862
  European Investment Bank  0.750% 11/15/24 GBP           681         925
  European Investment Bank  1.625%   2/4/25 CHF         1,700       1,978
  European Investment Bank  0.000%  3/25/25 EUR         2,045       2,381
  European Investment Bank  0.125%  4/15/25 EUR        20,455      23,921
  European Investment Bank  5.500%  4/15/25 GBP         1,818       2,864
125


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  European Investment Bank  0.375%  7/16/25 EUR        15,750      18,596
  European Investment Bank  2.750%  9/15/25 EUR        27,273      35,189
  European Investment Bank  4.500% 10/15/25 EUR        10,227      14,040
  European Investment Bank  2.900% 10/17/25 AUD         2,045       1,608
  European Investment Bank  0.000%  3/13/26 EUR         6,818       7,935
  European Investment Bank  0.375%  4/14/26 EUR        19,093      22,594
  European Investment Bank  3.100%  8/17/26 AUD        24,009      19,072
  European Investment Bank  2.750%  8/25/26 PLN         6,818       1,724
  European Investment Bank  1.000%  9/21/26 GBP         2,182       2,977
  European Investment Bank  0.100% 10/15/26 EUR        10,568      12,359
  European Investment Bank  1.250% 11/13/26 EUR         4,091       5,054
  European Investment Bank  0.500%  1/15/27 EUR        36,613      43,688
  European Investment Bank  3.500%  4/15/27 EUR         3,409       4,720
  European Investment Bank  3.750%  12/7/27 GBP         2,591       4,084
  European Investment Bank  0.875%  1/14/28 EUR        31,705      38,806
  European Investment Bank  1.000%  1/28/28 CAD         7,400       5,677
  European Investment Bank  3.300%   2/3/28 AUD         1,534       1,230
  European Investment Bank  0.000%  3/28/28 EUR        25,412      29,469
  European Investment Bank  1.375%  5/12/28 SEK        51,130       6,200
  European Investment Bank  0.000%  5/15/28 EUR         6,818       7,902
  European Investment Bank  0.000%  12/7/28 GBP         1,772       2,242
  European Investment Bank  6.000%  12/7/28 GBP        10,909      19,814
  European Investment Bank  0.625%  1/22/29 EUR        20,455      24,686
  European Investment Bank  3.300%  5/25/29 AUD         5,000       4,011
  European Investment Bank  0.125%  6/20/29 EUR         7,843       9,127
  European Investment Bank  0.250%  9/14/29 EUR        12,700      14,922
  European Investment Bank  0.050%  1/16/30 EUR        82,045      94,699
  European Investment Bank  4.000%  4/15/30 EUR         4,857       7,487
  European Investment Bank  0.000%   9/9/30 EUR        16,941      19,403
  European Investment Bank  2.750%  9/13/30 EUR        20,456      29,163
  European Investment Bank  0.000%  1/14/31 EUR        19,441      22,240
  European Investment Bank  1.000%  3/14/31 EUR        29,627      37,032
  European Investment Bank  1.000%  4/14/32 EUR        21,818      27,395
  European Investment Bank  1.125% 11/15/32 EUR        13,637      17,331
  European Investment Bank  1.125%  4/13/33 EUR        20,455      25,981
  European Investment Bank  3.000% 10/14/33 EUR         6,818      10,401
  European Investment Bank  0.050% 10/13/34 EUR         4,663       5,207
  European Investment Bank  2.625%  3/15/35 EUR         4,841       7,259
  European Investment Bank  3.125%  6/30/36 CHF           680       1,052
  European Investment Bank  1.125%  9/15/36 EUR        32,727      41,856
  European Investment Bank  3.875%   6/8/37 GBP         3,682       6,832
  European Investment Bank  0.500% 11/13/37 EUR         1,677       1,990
  European Investment Bank  5.000%  4/15/39 GBP         4,769      10,250
  European Investment Bank  2.750%  3/15/40 EUR        12,648      20,592
  European Investment Bank  0.250%  6/15/40 EUR        15,371      17,252
  European Investment Bank  0.010%  5/15/41 EUR        10,000      10,710
  European Investment Bank  3.625%  3/14/42 EUR         3,818       7,171
  European Investment Bank  1.000% 11/14/42 EUR         6,818       8,846
  European Investment Bank  4.500%   3/7/44 GBP         5,795      12,840
  European Investment Bank  1.750%  9/15/45 EUR         6,818      10,152
  European Investment Bank  0.875%  9/13/47 EUR         6,818       8,677
  European Investment Bank  1.500% 11/15/47 EUR         3,409       4,922
  European Investment Bank  1.500% 10/16/48 EUR         2,097       3,069
  European Investment Bank  0.050%  1/27/51 EUR        13,709      14,187
  European Investment Bank  4.625% 10/12/54 GBP         5,250      13,329
126


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  European Stability Mechanism  0.100%  7/31/23 EUR        34,773      40,550
  European Stability Mechanism  2.125% 11/20/23 EUR         2,195       2,666
  European Stability Mechanism  0.125%  4/22/24 EUR        43,636      50,979
  European Stability Mechanism  0.000% 12/16/24 EUR        10,841      12,626
  European Stability Mechanism  0.000%  3/14/25 EUR        46,549      54,174
  European Stability Mechanism  1.000%  9/23/25 EUR        27,273      32,950
  European Stability Mechanism  0.500%   3/2/26 EUR        31,841      37,809
  European Stability Mechanism  0.750%  3/15/27 EUR        17,045      20,567
  European Stability Mechanism  0.750%   9/5/28 EUR        12,582      15,274
  European Stability Mechanism  0.500%   3/5/29 EUR        28,637      34,182
  European Stability Mechanism  0.010%   3/4/30 EUR        13,465      15,444
  European Stability Mechanism  1.125%   5/3/32 EUR         3,566       4,510
  European Stability Mechanism  1.200%  5/23/33 EUR         8,181      10,436
  European Stability Mechanism  1.625% 11/17/36 EUR        27,239      37,116
  European Stability Mechanism  1.750% 10/20/45 EUR         6,818      10,213
  European Stability Mechanism  1.800%  11/2/46 EUR        17,284      26,330
  European Stability Mechanism  1.850%  12/1/55 EUR        10,227      17,116
12 European Union  0.625%  11/4/23 EUR        18,409      21,714
12 European Union  0.500%   4/4/25 EUR        40,909      48,470
  European Union  0.000%  11/4/25 EUR        12,423      14,493
  European Union  0.000%   3/4/26 EUR        50,000      58,297
  European Union  0.000%   7/6/26 EUR        48,550      56,584
12 European Union  3.000%   9/4/26 EUR         4,857       6,461
12 European Union  2.500%  11/4/27 EUR        12,955      17,261
12 European Union  2.875%   4/4/28 EUR         3,409       4,676
  European Union  0.000%  10/4/28 EUR        46,600      53,929
  European Union  0.000%   7/4/29 EUR         7,962       9,182
12 European Union  1.375%  10/4/29 EUR        10,909      13,945
  European Union  0.000%  10/4/30 EUR        40,000      45,875
12 European Union  0.750%   4/4/31 EUR        22,329      27,297
  European Union  0.000%  4/22/31 EUR        23,200      26,515
  European Union  0.000%   7/4/31 EUR        73,850      84,166
12 European Union  1.250%   4/4/33 EUR        17,045      21,879
  European Union  0.000%   7/4/35 EUR        42,806      47,367
12 European Union  1.125%   4/4/36 EUR        13,637      17,424
  European Union  0.250%  4/22/36 EUR        19,330      21,988
  European Union  0.200%   6/4/36 EUR        45,539      51,469
  European Union  0.400%   2/4/37 EUR        71,900      83,805
12 European Union  3.375%   4/4/38 EUR         5,519       9,386
  European Union  0.100%  10/4/40 EUR        23,806      25,863
  European Union  0.450%   7/4/41 EUR        47,900      55,267
12 European Union  3.750%   4/4/42 EUR         6,818      12,940
  European Union  0.450%   5/2/46 EUR        22,081      25,431
  European Union  0.750%   1/4/47 EUR        21,668      26,611
  European Union  0.300%  11/4/50 EUR        44,799      49,224
  European Union  0.700%   7/6/51 EUR        22,512      27,416
  Inter-American Development Bank  1.950%  4/23/24 AUD         2,182       1,664
  Inter-American Development Bank  4.750%  8/27/24 AUD        14,605      11,972
  Inter-American Development Bank  1.700% 10/10/24 CAD         8,441       6,801
  Inter-American Development Bank  1.375% 12/15/24 GBP        18,749      25,934
  Inter-American Development Bank  0.750% 10/15/25 CAD         3,222       2,519
  Inter-American Development Bank  2.750% 10/30/25 AUD         7,432       5,804
  Inter-American Development Bank  1.250% 12/15/25 GBP        16,705      23,028
  Inter-American Development Bank  4.400%  1/26/26 CAD            50          45
  Inter-American Development Bank  4.250%  6/11/26 AUD           886         737
127


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Inter-American Development Bank  0.500%  9/15/26 GBP         6,818       9,078
  Inter-American Development Bank  0.875%  8/27/27 CAD         4,302       3,278
  International Bank for Reconstruction & Development  2.250%  1/17/23 CAD         3,682       3,022
  International Bank for Reconstruction & Development  3.000%   2/2/23 NZD         6,818       4,955
  International Bank for Reconstruction & Development  0.500%  7/24/23 GBP        14,182      19,280
  International Bank for Reconstruction & Development  2.500%   8/3/23 CAD           723         596
  International Bank for Reconstruction & Development  0.500% 10/10/23 SEK       136,360      15,890
  International Bank for Reconstruction & Development  2.200%  2/27/24 AUD        15,272      11,718
  International Bank for Reconstruction & Development  1.800%  7/26/24 CAD         7,895       6,455
  International Bank for Reconstruction & Development  1.900%  1/16/25 CAD         5,233       4,278
  International Bank for Reconstruction & Development  4.250%  6/24/25 AUD         8,591       7,056
  International Bank for Reconstruction & Development  0.750%   7/2/25 CAD         4,022       3,162
  International Bank for Reconstruction & Development  2.900% 11/26/25 AUD         7,091       5,581
  International Bank for Reconstruction & Development  0.625%  1/14/26 CAD         4,248       3,294
  International Bank for Reconstruction & Development  0.250%  7/22/26 GBP         3,409       4,488
  International Bank for Reconstruction & Development  1.200%  7/22/26 CAD         9,000       7,107
  International Bank for Reconstruction & Development  3.000% 10/19/26 AUD        11,249       8,895
  International Bank for Reconstruction & Development  0.750% 12/15/26 GBP         9,457      12,716
  International Bank for Reconstruction & Development  0.000%  1/15/27 EUR        31,483      36,435
  International Bank for Reconstruction & Development  0.250%  9/23/27 GBP        13,637      17,709
  International Bank for Reconstruction & Development  0.875%  9/28/27 CAD         3,689       2,821
  International Bank for Reconstruction & Development  0.625% 11/22/27 EUR         7,499       8,980
  International Bank for Reconstruction & Development  0.010%  4/24/28 EUR        10,227      11,784
  International Bank for Reconstruction & Development  0.625%  7/14/28 GBP        14,800      19,544
  International Bank for Reconstruction & Development  3.300%  8/14/28 AUD         2,250       1,806
  International Bank for Reconstruction & Development  4.875%  12/7/28 GBP           400         685
  International Bank for Reconstruction & Development  1.950%  9/20/29 CAD         1,230         988
  International Bank for Reconstruction & Development  1.000% 12/21/29 GBP        10,289      13,870
  International Bank for Reconstruction & Development  0.000%  2/21/30 EUR         7,790       8,883
  International Bank for Reconstruction & Development  0.500%  4/16/30 EUR         3,682       4,375
128


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  International Bank for Reconstruction & Development  5.750%   6/7/32 GBP         4,091       8,014
  International Bank for Reconstruction & Development  0.625%  1/12/33 EUR        12,955      15,483
  International Bank for Reconstruction & Development  1.200%   8/8/34 EUR         6,577       8,395
  International Bank for Reconstruction & Development  0.500%  6/21/35 EUR        13,637      16,021
  International Bank for Reconstruction & Development  0.700% 10/22/46 EUR         7,000       8,405
  International Bank for Reconstruction & Development  0.125%   1/3/51 EUR        13,092      13,595
  International Bank for Reconstruction & Development  0.200%  1/21/61 EUR         3,682       3,842
  International Finance Corp.  2.375%  7/19/23 CAD         1,309       1,079
  International Finance Corp.  4.250%  8/21/23 AUD         1,363       1,085
  International Finance Corp.  1.250% 12/15/23 GBP         9,409      12,996
  International Finance Corp.  1.450%  7/22/24 AUD         2,352       1,769
  International Finance Corp.  1.375%  9/13/24 CAD         2,294       1,854
  International Finance Corp.  1.375%   3/7/25 GBP         6,696       9,270
  International Finance Corp.  4.000%   4/3/25 AUD         3,068       2,490
  International Finance Corp.  0.250% 12/15/25 GBP         6,955       9,206
  International Finance Corp.  0.875%  9/15/26 GBP        10,000      13,562
  International Finance Corp.  0.750%  7/22/27 GBP         6,818       9,120
  International Finance Corp.  3.200% 10/18/27 AUD           818         653
  International Finance Corp.  3.150%  6/26/29 AUD         6,500       5,169
  Nordic Investment Bank  1.125% 12/15/23 GBP        13,056      17,920
  Nordic Investment Bank  4.750%  2/28/24 AUD         3,572       2,894
  Nordic Investment Bank  0.125%  6/10/24 EUR        16,841      19,634
  Nordic Investment Bank  0.500%  11/3/25 EUR        13,364      15,825
  Nordic Investment Bank  0.125% 12/15/26 GBP        17,788      23,201
                   4,455,503
Sweden (0.4%)                              
  Kingdom of Sweden  0.125%  4/24/23 EUR        20,455      23,835
3 Kingdom of Sweden  1.500% 11/13/23 SEK       630,135      75,745
  Kingdom of Sweden  2.500%  5/12/25 SEK        88,160      11,160
  Kingdom of Sweden  1.000% 11/12/26 SEK       235,700      28,646
  Kingdom of Sweden  0.750%  5/12/28 SEK         4,775         574
3 Kingdom of Sweden  0.750% 11/12/29 SEK       265,220      31,950
3 Kingdom of Sweden  0.125%  5/12/31 SEK       777,670      88,647
  Kingdom of Sweden  2.250%   6/1/32 SEK       119,315      16,583
  Kingdom of Sweden  3.500%  3/30/39 SEK       157,805      27,186
  Kingdom of Sweden  1.375%  6/23/71 SEK       200,000      24,758
  Kommuninvest I Sverige AB  1.000% 11/13/23 SEK       388,630      46,055
  Kommuninvest I Sverige AB  1.000%  10/2/24 SEK       136,360      16,194
  Kommuninvest I Sverige AB  1.000%  5/12/25 SEK       268,670      31,945
  Kommuninvest I Sverige AB  0.750%   2/4/26 SEK       204,540      24,084
  Kommuninvest I Sverige AB  1.000% 11/12/26 SEK       409,080      48,425
  Region Stockholm  0.750%  2/26/25 EUR         3,409       4,023
                   499,810
Switzerland (0.4%)                              
  Canton of Basel-Landschaft  1.375%  9/29/34 CHF        11,315      13,951
  Canton of Geneva Switzerland  1.625%  7/30/29 CHF         2,420       2,938
  Canton of Geneva Switzerland  1.500%   3/5/32 CHF         1,090       1,340
  Canton of Geneva Switzerland  0.400%  4/28/36 CHF         3,410       3,756
129


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Canton of Geneva Switzerland  0.600%   7/4/46 CHF         2,035       2,362
  Canton of Vaud  2.000% 10/24/33 CHF         6,070       7,989
  Canton of Zurich  0.000%  6/27/25 CHF         6,820       7,502
  Canton of Zurich  1.250%  12/3/32 CHF         2,045       2,487
  Canton of Zurich  2.000%  7/29/38 CHF         6,820       9,541
  Canton of Zurich  0.250%  7/12/39 CHF         8,520       9,220
  Swiss Confederation  4.000%  2/11/23 CHF         1,639       1,898
  Swiss Confederation  1.250%  6/11/24 CHF        14,455      16,498
  Swiss Confederation  1.500%  7/24/25 CHF        11,897      13,897
  Swiss Confederation  1.250%  5/28/26 CHF        21,000      24,522
  Swiss Confederation  3.250%  6/27/27 CHF         6,137       8,030
  Swiss Confederation  4.000%   4/8/28 CHF           400         555
  Swiss Confederation  0.000%  6/22/29 CHF        17,727      19,569
  Swiss Confederation  0.500%  5/27/30 CHF        11,591      13,289
  Swiss Confederation  2.250%  6/22/31 CHF        11,931      15,903
  Swiss Confederation  0.500%  6/27/32 CHF         9,682      11,111
  Swiss Confederation  3.500%   4/8/33 CHF        14,046      21,391
  Swiss Confederation  0.000%  6/26/34 CHF        25,412      27,622
  Swiss Confederation  0.250%  6/23/35 CHF        25,000      28,111
  Swiss Confederation  2.500%   3/8/36 CHF         4,193       6,177
  Swiss Confederation  1.250%  6/27/37 CHF        20,625      26,725
  Swiss Confederation  0.000%  7/24/39 CHF        12,273      13,308
  Swiss Confederation  1.500%  4/30/42 CHF        28,022      39,528
  Swiss Confederation  0.500%  6/28/45 CHF        17,045      20,650
  Swiss Confederation  4.000%   1/6/49 CHF         5,795      13,088
  Swiss Confederation  0.500%  5/24/55 CHF         4,261       5,538
  Swiss Confederation  0.500%  5/30/58 CHF        15,116      19,992
  Swiss Confederation  2.000%  6/25/64 CHF         3,273       6,803
                   415,291
Thailand (0.6%)                              
  Bank of Thailand Bond  0.920%  3/23/23 THB       204,544       6,190
  Kingdom of Thailand  2.000% 12/17/22 THB        68,181       2,088
  Kingdom of Thailand  5.500%  3/13/23 THB        88,636       2,849
  Kingdom of Thailand  3.625%  6/16/23 THB       422,726      13,353
  Kingdom of Thailand  2.400% 12/17/23 THB     1,296,812      40,480
  Kingdom of Thailand  0.750%  6/17/24 THB     1,388,630      41,796
  Kingdom of Thailand  1.450% 12/17/24 THB     1,535,724      47,069
  Kingdom of Thailand  0.950%  6/17/25 THB     1,546,401      46,555
  Kingdom of Thailand  3.850% 12/12/25 THB       852,269      28,559
  Kingdom of Thailand  2.125% 12/17/26 THB       663,210      20,899
  Kingdom of Thailand  1.000%  6/17/27 THB       200,000       5,937
  Kingdom of Thailand  3.580% 12/17/27 THB       672,951      22,932
  Kingdom of Thailand  5.670%  3/13/28 THB        81,817       3,106
  Kingdom of Thailand  2.875% 12/17/28 THB     1,121,165      36,888
  Kingdom of Thailand  4.875%  6/22/29 THB     1,186,358      44,203
  Kingdom of Thailand  1.600% 12/17/29 THB       820,928      24,648
  Kingdom of Thailand  3.650%  6/20/31 THB       838,633      29,201
  Kingdom of Thailand  2.000% 12/17/31 THB       446,521      13,553
  Kingdom of Thailand  3.775%  6/25/32 THB     1,028,177      36,277
  Kingdom of Thailand  1.600%  6/17/35 THB       204,544       5,620
  Kingdom of Thailand  1.585% 12/17/35 THB       448,131      12,193
  Kingdom of Thailand  3.400%  6/17/36 THB     2,018,990      67,615
  Kingdom of Thailand  4.260% 12/12/37 THB       188,863       6,968
  Kingdom of Thailand  3.300%  6/17/38 THB     1,110,839      36,554
  Kingdom of Thailand  3.800%  6/14/41 THB       102,272       3,619
130


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Kingdom of Thailand  2.000%  6/17/42 THB       504,544      13,571
  Kingdom of Thailand  4.675%  6/29/44 THB       512,043      20,462
  Kingdom of Thailand  2.875%  6/17/46 THB       770,127      23,565
  Kingdom of Thailand  1.875%  6/17/49 THB       601,851      14,830
  Kingdom of Thailand  4.000%  6/17/66 THB       245,266       9,066
  Kingdom of Thailand  3.600%  6/17/67 THB     1,597,151      54,333
                   734,979
United Kingdom (4.5%)                              
1 Community Finance Co. 1 plc  5.017%  7/31/34 GBP           564         998
7 LCR Finance plc  4.500%  12/7/28 GBP         5,113       8,545
7 LCR Finance plc  4.500%  12/7/38 GBP         1,091       2,198
7 LCR Finance plc  5.100%   3/7/51 GBP         4,568      11,790
  Transport for London  2.125%  4/24/25 GBP         3,409       4,794
  Transport for London  3.875%  7/23/42 GBP           644       1,142
  Transport for London  3.625%  5/15/45 GBP         3,341       5,850
  Transport for London  4.000%   4/7/64 GBP         3,102       6,626
  United Kingdom Gilt  0.125%  1/31/24 GBP       547,165     738,743
  United Kingdom Gilt  0.250%  1/31/25 GBP        14,658      19,735
  United Kingdom Gilt  5.000%   3/7/25 GBP        85,709     133,874
  United Kingdom Gilt  0.625%   6/7/25 GBP         6,216       8,480
  United Kingdom Gilt  0.125%  1/30/26 GBP       176,965     235,792
  United Kingdom Gilt  0.375% 10/22/26 GBP        28,757      38,418
  United Kingdom Gilt  1.250%  7/22/27 GBP        63,461      88,822
  United Kingdom Gilt  0.125%  1/31/28 GBP       149,004     194,797
  United Kingdom Gilt  0.500%  1/31/29 GBP        74,162      98,367
  United Kingdom Gilt  0.875% 10/22/29 GBP        44,427      60,471
  United Kingdom Gilt  4.750%  12/7/30 GBP       110,198     199,880
  United Kingdom Gilt  0.250%  7/31/31 GBP       200,909     254,240
  United Kingdom Gilt  4.250%   6/7/32 GBP        77,413     139,426
  United Kingdom Gilt  4.500%   9/7/34 GBP        25,427      48,824
  United Kingdom Gilt  0.625%  7/31/35 GBP        91,743     116,760
  United Kingdom Gilt  4.250%   3/7/36 GBP        72,955     141,306
  United Kingdom Gilt  1.750%   9/7/37 GBP       180,203     267,196
  United Kingdom Gilt  4.750%  12/7/38 GBP        11,392      24,332
  United Kingdom Gilt  1.125%  1/31/39 GBP        36,662      49,553
  United Kingdom Gilt  4.250%   9/7/39 GBP        46,224      94,802
  United Kingdom Gilt  4.250%  12/7/40 GBP        28,600      59,735
  United Kingdom Gilt  1.250% 10/22/41 GBP       111,707     154,806
  United Kingdom Gilt  4.500%  12/7/42 GBP        64,840     143,879
  United Kingdom Gilt  3.250%  1/22/44 GBP       165,203     318,898
  United Kingdom Gilt  0.875%  1/31/46 GBP        41,332      52,858
  United Kingdom Gilt  4.250%  12/7/46 GBP        72,000     164,432
  United Kingdom Gilt  1.500%  7/22/47 GBP        80,659     118,795
  United Kingdom Gilt  1.750%  1/22/49 GBP        22,602      35,284
  United Kingdom Gilt  4.250%  12/7/49 GBP        49,500     118,484
  United Kingdom Gilt  0.625% 10/22/50 GBP        92,402     110,581
  United Kingdom Gilt  1.250%  7/31/51 GBP        60,847      85,421
  United Kingdom Gilt  3.750%  7/22/52 GBP        46,340     106,685
  United Kingdom Gilt  1.625% 10/22/54 GBP        69,914     109,165
  United Kingdom Gilt  4.250%  12/7/55 GBP        24,300      63,397
  United Kingdom Gilt  1.750%  7/22/57 GBP        69,876     115,604
  United Kingdom Gilt  4.000%  1/22/60 GBP        73,295     195,637
  United Kingdom Gilt  0.500% 10/22/61 GBP       119,278     138,536
  United Kingdom Gilt  2.500%  7/22/65 GBP        62,863     133,079
131


Total International Bond Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  United Kingdom Gilt  3.500%  7/22/68 GBP        38,225     102,651
                   5,323,688
Total Sovereign Bonds (Cost $90,644,959)     91,220,932
132


Total International Bond Index Fund
    Coupon     Shares Market
Value

($000)
Temporary Cash Investments (0.3%)      
Money Market Fund (0.3%)                              
13 Vanguard Market Liquidity Fund (Cost $380,872)  0.070%                  3,808,923            380,892
Total Investments (98.3%) (Cost $114,060,781)     115,304,928
Other Assets and Liabilities—Net (1.7%)     1,995,003
Net Assets (100.0%)     117,299,931
Cost is in $000.      
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 Guaranteed by the Republic of Austria.
3 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 October 31, 2021, the aggregate value was $16,043,640,000, representing 13.7% of net assets.
4 Guaranteed by the Republic of France.
5 Guaranteed by multiple countries.
6 Guaranteed by the Government of Japan.
7 Guaranteed by the Government of the United Kingdom.
8 Guaranteed by Commissioners of Her Majesty's Treasury.
9 Securities with a value of $922,255,000 have been segregated as collateral for open forward currency contracts.
10 Securities with a value of $511,000 have been segregated as initial margin for open futures contracts.
11 Guaranteed by the Federal Republic of Germany.
12 Guaranteed by the European Union.
13 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—Canadian dollar.
CHF—Swiss franc.
CNY—Chinese renminbi.
COP—Colombia Peso.
CZK—Czech koruna.
DKK—Danish krone.
EUR—euro.
GBP—British pound.
HKD—Hong Kong dollar.
HUF—Hungarian forint.
IDR—Indonesian rupiah.
ILS—Israeli shekel.
JPY—Japanese yen.
KRW—Korean won.
MXN—Mexican peso.
MYR—Malaysian ringgit.
NOK—Norwegian krone.
NZD—New Zealand dollar.
PEN—Peruvian sol.
PLN—Polish zloty.
RUB—Russian ruble.
SEK—Swedish krona.
SGD—Singapore dollar.
THB—Thai baht.
USD—U.S. dollar.
133


Total International Bond Index Fund

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts        
KRW 10-Year Treasury Bond December 2021 290 30,004 (827)
    
Forward Currency Contracts
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
State Street Bank & Trust Co. 12/2/21 AUD 139,000 USD 104,417 159
UBS AG 11/2/21 AUD 90,000 USD 65,019 2,684
Toronto-Dominion Bank 11/2/21 CAD 110,000 USD 86,826 2,055
State Street Bank & Trust Co. 12/2/21 CAD 27,000 USD 21,782 34
BNP Paribas 12/2/21 CAD 15,000 USD 12,101 19
BNP Paribas 11/2/21 CHF 20,000 USD 21,455 390
State Street Bank & Trust Co. 11/2/21 CNY 30,000 USD 4,690 (3)
Toronto-Dominion Bank 11/3/21 COP 725,000,000 USD 191,680 803
BNP Paribas 11/3/21 COP 541,210,807 USD 143,064 624
Toronto-Dominion Bank 11/3/21 COP 235,000,000 USD 62,417 (26)
Citibank, N.A. 11/3/21 COP 216,210,807 USD 57,595 (192)
HSBC Bank plc 11/3/21 COP 210,000,000 USD 55,940 (187)
JPMorgan Chase Bank, N.A. 11/3/21 COP 75,000,000 USD 19,819 94
Toronto-Dominion Bank 12/2/21 COP 25,174,000 USD 6,616 54
BNP Paribas 11/2/21 CZK 7,444,000 USD 338,533 (3,296)
Morgan Stanley Capital Services Inc. 12/2/21 CZK 355,000 USD 15,998 (34)
Goldman Sachs Bank USA 11/2/21 DKK 70,000 USD 10,916 (37)
Goldman Sachs Bank USA 11/2/21 EUR 4,583,000 USD 5,323,320 (25,165)
BNP Paribas 11/2/21 EUR 3,900,000 USD 4,531,099 (22,523)
Deutsche Bank AG 11/2/21 EUR 2,600,000 USD 3,017,004 (11,286)
Morgan Stanley Capital Services Inc. 11/2/21 EUR 2,080,000 USD 2,413,569 (8,996)
The Bank of New York Mellon Corp. 11/2/21 EUR 1,950,000 USD 2,267,785 (13,498)
Bank of America, N.A. 11/2/21 EUR 1,950,000 USD 2,264,860 (10,573)
134


Total International Bond Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
JPMorgan Chase Bank, N.A. 11/2/21 EUR 1,735,500 USD 2,013,967 (7,651)
Commonwealth Bank of Australia 11/2/21 EUR 1,306,500 USD 1,518,267 (7,895)
Barclays Bank plc 11/2/21 EUR 1,300,000 USD 1,513,386 (10,527)
UBS AG 11/2/21 EUR 1,305,000 USD 1,512,602 (3,964)
HSBC Bank plc 11/2/21 EUR 1,300,000 USD 1,510,405 (7,547)
Toronto-Dominion Bank 11/2/21 EUR 1,300,000 USD 1,508,780 (5,922)
State Street Bank & Trust Co. 11/2/21 EUR 1,300,000 USD 1,508,748 (5,889)
Citibank, N.A. 11/2/21 EUR 1,300,000 USD 1,507,870 (5,012)
Royal Bank of Canada 11/2/21 EUR 650,000 USD 755,560 (4,131)
Citibank, N.A. 12/2/21 EUR 350,000 USD 406,096 (1,230)
BNP Paribas 12/15/21 EUR 28,000 USD 32,431 (26)
BNP Paribas 11/2/21 GBP 162,000 USD 218,503 3,202
JPMorgan Chase Bank, N.A. 11/2/21 GBP 40,000 USD 54,239 503
Citibank, N.A. 11/2/21 GBP 10,000 USD 13,484 201
UBS AG 11/2/21 GBP 5,000 USD 6,742 101
Commonwealth Bank of Australia 11/2/21 GBP 3,000 USD 4,045 60
Toronto-Dominion Bank 11/3/21 HUF 70,384,251 USD 227,633 (1,540)
Bank of America, N.A. 12/2/21 HUF 3,117,000 USD 10,021 (22)
Standard Chartered Bank 11/2/21 IDR 14,696,575,000 USD 1,037,161 (16)
Standard Chartered Bank 11/2/21 IDR 45,726,000 USD 3,181 46
BNP Paribas 12/2/21 ILS 27,000 USD 8,554 (20)
UBS AG 11/2/21 JPY 146,000,000 USD 1,282,712 (1,712)
Barclays Bank plc 11/2/21 JPY 73,000,000 USD 640,795 (295)
BNP Paribas 11/2/21 JPY 5,930,000 USD 53,180 (1,151)
State Street Bank & Trust Co. 12/2/21 JPY 2,885,000 USD 25,307 12
Citibank, N.A. 11/2/21 JPY 1,625,000 USD 14,567 (309)
Commonwealth Bank of Australia 11/2/21 JPY 1,625,000 USD 14,567 (310)
BNP Paribas 11/2/21 KRW 3,676,828,050 USD 3,141,938 4,380
JPMorgan Chase Bank, N.A. 11/2/21 KRW 1,445,414,980 USD 1,235,097 1,766
Standard Chartered Bank 11/2/21 KRW 672,010,060 USD 574,727 322
BNP Paribas 11/2/21 KRW 464,255,250 USD 398,025 (755)
UBS AG 11/2/21 KRW 461,875,180 USD 395,492 (258)
HSBC Bank plc 11/2/21 KRW 385,388,500 USD 330,777 (994)
135


Total International Bond Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
UBS AG 11/2/21 KRW 292,298,500 USD 249,913 211
BNP Paribas 11/3/21 MXN 120,000 USD 5,815 11
BNP Paribas 11/2/21 MYR 3,621,519 USD 874,044 425
State Street Bank & Trust Co. 12/2/21 NZD 29,000 USD 20,747 26
Toronto-Dominion Bank 11/3/21 PEN 582,729 USD 146,168 (153)
Toronto-Dominion Bank 11/3/21 PEN 582,729 USD 146,011 6
BNP Paribas 11/3/21 PLN 1,685,503 USD 425,110 (2,663)
Barclays Bank plc 12/2/21 PLN 70,000 USD 17,560 (27)
UBS AG 11/1/21 RUB 67,365,329 USD 959,302 (9,308)
Citibank, N.A. 11/1/21 RUB 18,485,208 USD 263,553 (2,872)
BNP Paribas 12/1/21 RUB 983,000 USD 13,791 (10)
Morgan Stanley Capital Services Inc. 12/1/21 RUB 900,000 USD 12,646 (29)
Goldman Sachs Bank USA 11/2/21 SEK 80,000 USD 9,146 169
State Street Bank & Trust Co. 12/2/21 SGD 12,000 USD 8,898
Citibank, N.A. 11/2/21 SGD 10,000 USD 7,366 50
BNP Paribas 11/2/21 THB 19,276,355 USD 579,424 1,484
Standard Chartered Bank 11/2/21 THB 6,691,960 USD 201,930 (262)
JPMorgan Chase Bank, N.A. 12/2/21 THB 698,475 USD 21,075 (32)
JPMorgan Chase Bank, N.A. 12/2/21 THB 498,000 USD 14,948 55
State Street Bank & Trust Co. 11/2/21 THB 206,462 USD 6,113 109
Commonwealth Bank of Australia 11/2/21 USD 2,207,525 AUD 3,055,680 (91,135)
State Street Bank & Trust Co. 12/2/21 USD 1,271,015 AUD 1,692,000 (1,951)
BNP Paribas 12/2/21 USD 1,211,634 AUD 1,613,000 (1,898)
Commonwealth Bank of Australia 12/2/21 USD 1,151,316 AUD 1,532,680 (1,787)
State Street Bank & Trust Co. 11/2/21 USD 866,909 AUD 1,200,000 (35,800)
BNP Paribas 11/2/21 USD 794,681 AUD 1,100,000 (32,802)
JPMorgan Chase Bank, N.A. 12/2/21 USD 368,088 AUD 490,000 (560)
UBS AG 11/2/21 USD 44,791 AUD 62,000 (1,849)
Toronto-Dominion Bank 11/2/21 USD 3,109,944 CAD 3,940,000 (73,633)
Toronto-Dominion Bank 12/2/21 USD 2,928,430 CAD 3,630,000 (4,652)
136


Total International Bond Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
Royal Bank of Canada 12/2/21 USD 1,475,863 CAD 1,829,237 (2,182)
The Bank of New York Mellon Corp. 11/2/21 USD 1,390,836 CAD 1,769,237 (38,734)
The Bank of New York Mellon Corp. 12/2/21 USD 1,179,067 CAD 1,460,000 (630)
State Street Bank & Trust Co. 11/2/21 USD 1,027,022 CAD 1,300,000 (23,396)
Royal Bank of Canada 11/2/21 USD 1,026,124 CAD 1,300,000 (24,294)
State Street Bank & Trust Co. 12/2/21 USD 589,461 CAD 730,000 (387)
Bank of Montreal 12/2/21 USD 589,080 CAD 730,000 (768)
HSBC Bank plc 11/2/21 USD 142,231 CAD 180,000 (3,212)
Morgan Stanley Capital Services Inc. 11/2/21 USD 1,311,504 CHF 1,222,598 (23,861)
Toronto-Dominion Bank 12/2/21 USD 1,329,185 CHF 1,213,598 2,577
UBS AG 11/2/21 USD 86,889 CHF 81,000 (1,582)
BNP Paribas 12/2/21 USD 76,667 CHF 70,000 149
State Street Bank & Trust Co. 12/2/21 USD 980,719 CNY 6,281,628 1,528
Standard Chartered Bank 11/2/21 USD 950,648 CNY 6,176,628 (14,425)
State Street Bank & Trust Co. 11/2/21 USD 20,841 CNY 135,000 (252)
Standard Chartered Bank 12/2/21 USD 15,609 CNY 100,000 21
Toronto-Dominion Bank 11/3/21 USD 251,308 COP 960,000,000 (3,566)
BNP Paribas 11/3/21 USD 141,172 COP 541,210,807 (2,517)
Toronto-Dominion Bank 12/2/21 USD 62,293 COP 235,000,000 32
Toronto-Dominion Bank 12/2/21 USD 62,079 COP 235,000,000 (181)
Citibank, N.A. 12/2/21 USD 57,474 COP 216,210,807 191
Citibank, N.A. 11/3/21 USD 57,132 COP 216,210,807 (271)
HSBC Bank plc 12/2/21 USD 55,818 COP 210,000,000 181
HSBC Bank plc 11/3/21 USD 55,490 COP 210,000,000 (263)
BNP Paribas 12/2/21 USD 27,745 COP 105,000,000 (74)
JPMorgan Chase Bank, N.A. 11/3/21 USD 19,769 COP 75,000,000 (141)
BNP Paribas 11/2/21 USD 338,078 CZK 7,444,000 2,841
BNP Paribas 12/2/21 USD 338,032 CZK 7,444,000 3,289
Barclays Bank plc 12/2/21 USD 715,686 DKK 4,562,907 6,120
Toronto-Dominion Bank 11/2/21 USD 394,633 DKK 2,532,907 1,003
Barclays Bank plc 11/2/21 USD 327,908 DKK 2,100,000 1,556
137


Total International Bond Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
Morgan Stanley Capital Services Inc. 11/2/21 USD 12,939,121 EUR 11,100,000 107,023
Toronto-Dominion Bank 11/2/21 USD 12,845,562 EUR 11,050,000 71,267
State Street Bank & Trust Co. 12/2/21 USD 12,672,687 EUR 10,911,911 50,226
State Street Bank & Trust Co. 11/2/21 USD 6,053,157 EUR 5,200,000 41,724
Toronto-Dominion Bank 12/2/21 USD 5,736,043 EUR 4,950,000 10,081
The Bank of New York Mellon Corp. 11/2/21 USD 5,294,581 EUR 4,550,000 34,578
BNP Paribas 12/2/21 USD 5,285,847 EUR 4,550,000 22,590
Royal Bank of Canada 12/2/21 USD 5,277,038 EUR 4,550,000 13,780
Goldman Sachs Bank USA 11/2/21 USD 4,559,912 EUR 3,900,000 51,336
Goldman Sachs Bank USA 12/2/21 USD 4,532,296 EUR 3,900,000 20,934
The Bank of New York Mellon Corp. 12/15/21 USD 3,786,608 EUR 3,250,000 25,322
Royal Bank of Canada 11/2/21 USD 3,768,616 EUR 3,250,000 11,471
Deutsche Bank AG 12/2/21 USD 3,677,830 EUR 3,165,000 16,685
Bank of America, N.A. 11/2/21 USD 3,043,741 EUR 2,600,000 38,024
Morgan Stanley Capital Services Inc. 12/2/21 USD 3,021,784 EUR 2,600,000 14,209
BNP Paribas 11/2/21 USD 3,021,693 EUR 2,600,000 15,975
Barclays Bank plc 12/2/21 USD 3,019,538 EUR 2,600,000 11,964
Deutsche Bank AG 11/2/21 USD 2,934,314 EUR 2,516,911 24,652
HSBC Bank plc 11/2/21 USD 2,268,476 EUR 1,950,000 14,189
Barclays Bank plc 11/2/21 USD 2,266,158 EUR 1,950,000 11,870
Standard Chartered Bank 11/2/21 USD 2,261,170 EUR 1,950,000 6,883
Standard Chartered Bank 12/2/21 USD 2,257,934 EUR 1,950,000 2,252
UBS AG 11/2/21 USD 1,520,062 EUR 1,300,000 17,203
Bank of America, N.A. 12/2/21 USD 1,515,640 EUR 1,300,000 11,852
Commonwealth Bank of Australia 11/2/21 USD 1,515,023 EUR 1,300,000 12,165
Commonwealth Bank of Australia 12/2/21 USD 1,511,604 EUR 1,300,000 7,818
HSBC Bank plc 12/2/21 USD 1,511,267 EUR 1,300,000 7,479
BNP Paribas 12/15/21 USD 1,511,175 EUR 1,300,000 6,660
JPMorgan Chase Bank, N.A. 12/15/21 USD 1,510,287 EUR 1,300,000 5,772
Bank of America, N.A. 12/15/21 USD 1,509,395 EUR 1,300,000 4,880
Citibank, N.A. 12/2/21 USD 1,508,741 EUR 1,300,000 4,953
138


Total International Bond Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
UBS AG 12/2/21 USD 1,507,676 EUR 1,300,000 3,888
The Bank of New York Mellon Corp. 12/2/21 USD 1,316,253 EUR 1,130,000 9,115
Deutsche Bank AG 12/15/21 USD 756,114 EUR 650,000 3,856
Goldman Sachs Bank USA 12/15/21 USD 755,984 EUR 650,000 3,727
JPMorgan Chase Bank, N.A. 11/2/21 USD 753,728 EUR 650,000 2,299
Toronto-Dominion Bank 11/2/21 USD 6,153,916 GBP 4,563,855 (91,966)
Toronto-Dominion Bank 12/2/21 USD 4,675,518 GBP 3,410,855 7,401
BNP Paribas 11/2/21 USD 2,814,113 GBP 2,087,000 (42,059)
UBS AG 12/2/21 USD 2,563,321 GBP 1,870,000 4,028
State Street Bank & Trust Co. 12/2/21 USD 1,699,750 GBP 1,240,000 2,678
BNP Paribas 12/2/21 USD 204,312 GBP 149,000 390
Goldman Sachs Bank USA 11/2/21 USD 121,397 GBP 90,000 (1,773)
JPMorgan Chase Bank, N.A. 12/2/21 USD 59,075 HKD 459,500 12
HSBC Bank plc 11/2/21 USD 59,007 HKD 459,500 (51)
Toronto-Dominion Bank 12/2/21 USD 227,317 HUF 70,384,251 1,539
JPMorgan Chase Bank, N.A. 11/3/21 USD 226,517 HUF 70,384,251 424
Deutsche Bank AG 11/2/21 USD 1,027,746 IDR 14,742,301,000 (12,626)
Standard Chartered Bank 12/2/21 USD 1,034,256 IDR 14,696,575,000 110
Deutsche Bank AG 12/2/21 USD 7,740 IDR 110,000,000
Standard Chartered Bank 12/2/21 USD 4,915 IDR 70,000,000 (11)
BNP Paribas 12/2/21 USD 422,022 ILS 1,332,569 837
Deutsche Bank AG 11/2/21 USD 414,550 ILS 1,332,569 (6,571)
Standard Chartered Bank 11/2/21 USD 4,952,783 JPY 552,500,000 105,164
BNP Paribas 11/2/21 USD 4,000,035 JPY 446,500,000 82,456
BNP Paribas 12/2/21 USD 3,021,881 JPY 344,500,000 (1,460)
National Australia Bank Ltd. 11/2/21 USD 2,563,794 JPY 286,000,000 54,437
National Australia Bank Ltd. 12/2/21 USD 2,508,732 JPY 286,000,000 (1,212)
The Bank of New York Mellon Corp. 12/2/21 USD 2,219,125 JPY 252,500,000 3,177
The Bank of New York Mellon Corp. 11/2/21 USD 2,002,005 JPY 224,000,000 36,636
139


Total International Bond Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
JPMorgan Chase Bank, N.A. 11/2/21 USD 1,549,872 JPY 173,000,000 31,976
Barclays Bank plc 12/2/21 USD 1,484,865 JPY 168,954,175 2,118
UBS AG 12/2/21 USD 1,282,972 JPY 146,000,000 1,673
Morgan Stanley Capital Services Inc. 11/2/21 USD 1,280,298 JPY 143,110,000 24,654
BNP Paribas 12/2/21 USD 912,664 JPY 103,700,000 2,591
Deutsche Bank AG 11/2/21 USD 912,154 JPY 102,000,000 17,209
Toronto-Dominion Bank 11/2/21 USD 699,216 JPY 78,000,000 14,846
Toronto-Dominion Bank 12/2/21 USD 684,200 JPY 78,000,000 (330)
Barclays Bank plc 11/2/21 USD 638,161 JPY 71,000,000 15,210
State Street Bank & Trust Co. 11/2/21 USD 580,833 JPY 65,000,000 10,524
HSBC Bank plc 12/2/21 USD 467,874 JPY 53,200,000 990
UBS AG 11/2/21 USD 456,038 JPY 51,000,000 8,566
Commonwealth Bank of Australia 12/2/21 USD 444,517 JPY 50,500,000 1,328
State Street Bank & Trust Co. 12/2/21 USD 444,340 JPY 50,500,000 1,151
Goldman Sachs Bank USA 12/2/21 USD 443,621 JPY 50,500,000 432
Toronto-Dominion Bank 12/2/21 USD 443,620 JPY 50,500,000 431
Bank of America, N.A. 11/2/21 USD 39,598 JPY 4,424,175 780
BNP Paribas 11/2/21 USD 3,517,002 KRW 4,141,083,300 (26,587)
JPMorgan Chase Bank, N.A. 11/2/21 USD 1,231,213 KRW 1,445,414,980 (5,649)
BNP Paribas 12/2/21 USD 1,084,827 KRW 1,271,125,718 (1,997)
JPMorgan Chase Bank, N.A. 12/2/21 USD 649,922 KRW 761,095,880 (820)
UBS AG 11/2/21 USD 643,339 KRW 754,173,680 (2,019)
Standard Chartered Bank 11/2/21 USD 573,057 KRW 672,010,060 (1,993)
UBS AG 12/2/21 USD 395,116 KRW 461,875,180 209
HSBC Bank plc 12/2/21 USD 330,525 KRW 385,388,500 1,015
HSBC Bank plc 11/2/21 USD 329,505 KRW 385,388,500 (278)
BNP Paribas 12/2/21 USD 328,024 KRW 382,747,870 771
Standard Chartered Bank 12/2/21 USD 317,100 KRW 370,953,560 (68)
State Street Bank & Trust Co. 12/2/21 USD 652,540 MXN 13,436,547 3,157
State Street Bank & Trust Co. 11/3/21 USD 620,097 MXN 12,816,547 (2,145)
UBS AG 11/3/21 USD 35,859 MXN 740,000 (68)
140


Total International Bond Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
BNP Paribas 11/2/21 USD 864,533 MYR 3,621,518 (9,936)
BNP Paribas 12/2/21 USD 842,212 MYR 3,493,202 (125)
Standard Chartered Bank 12/2/21 USD 12,591 MYR 52,321 (26)
Barclays Bank plc 12/2/21 USD 276,564 NOK 2,340,000 (367)
Barclays Bank plc 11/2/21 USD 215,895 NOK 1,885,000 (7,236)
Morgan Stanley Capital Services Inc. 11/2/21 USD 51,793 NOK 456,356 (2,227)
Morgan Stanley Capital Services Inc. 12/2/21 USD 162 NOK 1,356 1
JPMorgan Chase Bank, N.A. 12/2/21 USD 489,928 NZD 684,879 (636)
JPMorgan Chase Bank, N.A. 11/2/21 USD 417,206 NZD 604,879 (16,240)
Toronto-Dominion Bank 11/2/21 USD 55,175 NZD 80,000 (2,152)
Toronto-Dominion Bank 11/3/21 USD 287,189 PEN 1,165,458 (4,844)
Toronto-Dominion Bank 12/2/21 USD 145,996 PEN 582,729 137
BNP Paribas 12/2/21 USD 424,789 PLN 1,685,503 2,616
Deutsche Bank AG 11/3/21 USD 422,692 PLN 1,685,503 244
UBS AG 11/1/21 USD 587,521 RUB 42,925,269 (17,818)
UBS AG 12/1/21 USD 348,536 RUB 24,440,060 5,920
UBS AG 11/1/21 USD 346,574 RUB 24,440,060 1,917
Citibank, N.A. 11/1/21 USD 262,131 RUB 18,485,208 1,450
Citibank, N.A. 12/1/21 USD 261,998 RUB 18,485,208 2,860
Royal Bank of Canada 11/2/21 USD 594,500 SEK 5,200,000 (11,005)
Royal Bank of Canada 12/2/21 USD 567,746 SEK 4,875,000 (72)
UBS AG 12/2/21 USD 551,439 SEK 4,699,314 4,083
UBS AG 11/2/21 USD 256,620 SEK 2,254,314 (5,879)
Barclays Bank plc 11/2/21 USD 250,307 SEK 2,200,000 (5,868)
Morgan Stanley Capital Services Inc. 12/2/21 USD 76,742 SEK 660,000 (132)
Barclays Bank plc 12/2/21 USD 32,682 SEK 280,000 69
Toronto-Dominion Bank 12/2/21 USD 586,283 SGD 789,019 1,257
Morgan Stanley Capital Services Inc. 11/2/21 USD 543,143 SGD 739,019 (4,882)
HSBC Bank plc 11/2/21 USD 36,883 SGD 50,000 (195)
State Street Bank & Trust Co. 11/2/21 USD 7,364 SGD 10,000 (52)
BNP Paribas 12/2/21 USD 572,219 THB 19,046,355 (1,603)
BNP Paribas 11/2/21 USD 438,597 THB 14,786,800 (7,016)
JPMorgan Chase Bank, N.A. 11/2/21 USD 315,005 THB 10,641,915 (5,698)
141


Total International Bond Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
Standard Chartered Bank 12/2/21 USD 201,875 THB 6,691,960 262
Standard Chartered Bank 11/2/21 USD 22,144 THB 746,063 (339)
            1,217,981 (869,182)
At October 31, 2021, the counterparties had deposited in segregated accounts securities with a value of $60,486,000 and cash of $42,740,000 in connection with open forward currency contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
142


Total International Bond Index Fund
Statement of Assets and Liabilities
As of October 31, 2021
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $113,679,909) 114,924,036
Affiliated Issuers (Cost $380,872) 380,892
Total Investments in Securities 115,304,928
Investment in Vanguard 4,000
Cash 228
Foreign Currency, at Value (Cost $1,434,420) 1,292,261
Receivables for Investment Securities Sold 243,115
Receivables for Accrued Income 642,589
Receivables for Capital Shares Issued 28,595
Unrealized Appreciation—Forward Currency Contracts 1,217,981
Other Assets 25,833
Total Assets 118,759,530
Liabilities  
Payables for Investment Securities Purchased 564,772
Payables for Capital Shares Redeemed 19,606
Payables for Distributions 1,530
Payables to Vanguard 4,509
Unrealized Depreciation—Forward Currency Contracts 869,182
Total Liabilities 1,459,599
Net Assets 117,299,931
143


Total International Bond Index Fund
Statement of Assets and Liabilities (continued)

At October 31, 2021, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 112,837,037
Total Distributable Earnings (Loss) 4,462,894
Net Assets 117,299,931
 
Investor Shares—Net Assets  
Applicable to 2,665,130,512 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
30,174,172
Net Asset Value Per Share—Investor Shares $11.32
 
ETF Shares—Net Assets  
Applicable to 801,735,220 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
45,347,562
Net Asset Value Per Share—ETF Shares $56.56
 
Admiral Shares—Net Assets  
Applicable to 1,291,658,121 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
29,240,619
Net Asset Value Per Share—Admiral Shares $22.64
 
Institutional Shares—Net Assets  
Applicable to 369,070,995 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
12,537,578
Net Asset Value Per Share—Institutional Shares $33.97
  
See accompanying Notes, which are an integral part of the Financial Statements.
144


Total International Bond Index Fund
Statement of Operations
  Year Ended
October 31, 2021
  ($000)
Investment Income  
Income  
Interest1,2 1,282,986
Total Income 1,282,986
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 3,164
Management and Administrative—Investor Shares 37,968
Management and Administrative—ETF Shares 24,457
Management and Administrative—Admiral Shares 42,503
Management and Administrative—Institutional Shares 12,675
Marketing and Distribution—Investor Shares 1,865
Marketing and Distribution—ETF Shares 1,390
Marketing and Distribution—Admiral Shares 1,612
Marketing and Distribution—Institutional Shares 623
Custodian Fees 4,175
Auditing Fees 137
Shareholders’ Reports—Investor Shares 174
Shareholders’ Reports—ETF Shares 1,063
Shareholders’ Reports—Admiral Shares 304
Shareholders’ Reports—Institutional Shares 14
Trustees’ Fees and Expenses 43
Total Expenses 132,167
Net Investment Income 1,150,819
Realized Net Gain (Loss)  
Investment Securities Sold1,3 6,781,478
Futures Contracts (7,242)
Forward Currency Contracts (731,036)
Foreign Currencies 378,968
Realized Net Gain (Loss) 6,422,168
145


Total International Bond Index Fund
Statement of Operations (continued)
  Year Ended
October 31, 2021
  ($000)
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (10,634,433)
Futures Contracts 71
Forward Currency Contracts 338,021
Foreign Currencies (157,673)
Change in Unrealized Appreciation (Depreciation) (10,454,014)
Net Increase (Decrease) in Net Assets Resulting from Operations (2,881,027)
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $814,000, $137,000, and ($137,000), respectively. Purchases and sales are for temporary cash investment purposes.
2 Interest is net of foreign withholding taxes of $24,724,000.
3 Includes $5,050,409,000 of net gain (loss) resulting from in-kind redemptions.
  
See accompanying Notes, which are an integral part of the Financial Statements.
146


Total International Bond Index Fund
Statement of Changes in Net Assets
  Year Ended October 31,
  2021
($000)
2020
($000)
     
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 1,150,819 1,436,037
Realized Net Gain (Loss) 6,422,168 (5,116,161)
Change in Unrealized Appreciation (Depreciation) (10,454,014) 8,349,859
Net Increase (Decrease) in Net Assets Resulting from Operations (2,881,027) 4,669,735
Distributions    
Investor Shares (315,494) (962,557)
ETF Shares (411,957) (823,228)
Admiral Shares (427,771) (1,661,774)
Institutional Shares (240,342) (1,181,533)
Total Distributions (1,395,564) (4,629,092)
Capital Share Transactions    
Investor Shares (894,692) 2,019,259
ETF Shares 12,638,785 9,974,916
Admiral Shares (20,249,604) (1,030,090)
Institutional Shares (27,279,588) 5,907,531
Net Increase (Decrease) from Capital Share Transactions (35,785,099) 16,871,616
Total Increase (Decrease) (40,061,690) 16,912,259
Net Assets    
Beginning of Period 157,361,621 140,449,362
End of Period 117,299,931 157,361,621
  
See accompanying Notes, which are an integral part of the Financial Statements.
147


Total International Bond Index Fund
Financial Highlights
Investor Shares          
For a Share Outstanding
Throughout Each Period 
Year Ended October 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $11.66 $11.68 $10.90 $10.96 $11.02
Investment Operations          
Net Investment Income1 .092 .109 .121 .113 .114
Net Realized and Unrealized Gain (Loss) on Investments (.320) .240 .988 .068 .011
Total from Investment Operations (.228) .349 1.109 .181 .125
Distributions          
Dividends from Net Investment Income (.094) (.369) (.329) (.241) (.185)
Distributions from Realized Capital Gains (.018)
Total Distributions (.112) (.369) (.329) (.241) (.185)
Net Asset Value, End of Period $11.32 $11.66 $11.68 $10.90 $10.96
Total Return2 -1.97% 3.09% 10.39% 1.68% 1.16%
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $30,174 $32,054 $30,053 $27,299 $25,603
Ratio of Total Expenses to Average Net Assets 0.13% 0.13% 0.13% 0.13% 0.13%
Ratio of Net Investment Income to Average Net Assets 0.80% 0.95% 1.07% 1.03% 1.05%
Portfolio Turnover Rate 25%3 31%3 26% 22% 19%
1 Calculated based on average shares outstanding.
2 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.
3 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.
  
See accompanying Notes, which are an integral part of the Financial Statements.
148


Total International Bond Index Fund
Financial Highlights
ETF Shares          
For a Share Outstanding
Throughout Each Period 
Year Ended October 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $58.27 $58.34 $54.47 $54.75 $55.09
Investment Operations          
Net Investment Income1 .492 .572 .630 .584 .578
Net Realized and Unrealized Gain (Loss) on Investments (1.603) 1.232 4.913 .356 .038
Total from Investment Operations (1.111) 1.804 5.543 .940 .616
Distributions          
Dividends from Net Investment Income (.510) (1.874) (1.673) (1.220) (.956)
Distributions from Realized Capital Gains (.089)
Total Distributions (.599) (1.874) (1.673) (1.220) (.956)
Net Asset Value, End of Period $56.56 $58.27 $58.34 $54.47 $54.75
Total Return -1.92% 3.20% 10.40% 1.74% 1.15%
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $45,348 $33,941 $23,911 $12,092 $8,504
Ratio of Total Expenses to Average Net Assets 0.07% 0.08% 0.08% 0.09% 0.11%
Ratio of Net Investment Income to Average Net Assets 0.86% 0.99% 1.12% 1.07% 1.07%
Portfolio Turnover Rate 25%2 31%2 26% 22% 19%
1 Calculated based on average shares outstanding.
2 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.
  
See accompanying Notes, which are an integral part of the Financial Statements.
149


Total International Bond Index Fund
Financial Highlights
Admiral Shares          
For a Share Outstanding
Throughout Each Period 
Year Ended October 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $23.32 $23.35 $21.79 $21.91 $22.04
Investment Operations          
Net Investment Income1 .191 .223 .246 .230 .231
Net Realized and Unrealized Gain (Loss) on Investments (.644) .489 1.976 .137 .017
Total from Investment Operations (.453) .712 2.222 .367 .248
Distributions          
Dividends from Net Investment Income (.191) (.742) (.662) (.487) (.378)
Distributions from Realized Capital Gains (.036)
Total Distributions (.227) (.742) (.662) (.487) (.378)
Net Asset Value, End of Period $22.64 $23.32 $23.35 $21.79 $21.91
Total Return2 -1.96% 3.15% 10.41% 1.70% 1.16%
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $29,241 $50,818 $51,889 $43,550 $36,072
Ratio of Total Expenses to Average Net Assets 0.11% 0.11% 0.11% 0.11% 0.11%
Ratio of Net Investment Income to Average Net Assets 0.83% 0.97% 1.09% 1.05% 1.07%
Portfolio Turnover Rate 25%3 31%3 26% 22% 19%
1 Calculated based on average shares outstanding.
2 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.
3 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.
  
See accompanying Notes, which are an integral part of the Financial Statements.
150


Total International Bond Index Fund
Financial Highlights
Institutional Shares          
For a Share Outstanding
Throughout Each Period 
Year Ended October 31,
2021 2020 2019 2018 2017
Net Asset Value, Beginning of Period $34.99 $35.03 $32.70 $32.88 $33.07
Investment Operations          
Net Investment Income1 .310 .348 .382 .358 .360
Net Realized and Unrealized Gain (Loss) on Investments (.977) .739 2.954 .206 .033
Total from Investment Operations (.667) 1.087 3.336 .564 .393
Distributions          
Dividends from Net Investment Income (.299) (1.127) (1.006) (.744) (.583)
Distributions from Realized Capital Gains (.054)
Total Distributions (.353) (1.127) (1.006) (.744) (.583)
Net Asset Value, End of Period $33.97 $34.99 $35.03 $32.70 $32.88
Total Return -1.92% 3.21% 10.42% 1.74% 1.22%
Ratios/Supplemental Data          
Net Assets, End of Period (Millions) $12,538 $40,548 $34,596 $28,196 $24,365
Ratio of Total Expenses to Average Net Assets 0.07% 0.07% 0.07% 0.07% 0.07%
Ratio of Net Investment Income to Average Net Assets 0.89% 1.01% 1.13% 1.09% 1.11%
Portfolio Turnover Rate 25%2 31%2 26% 22% 19%
1 Calculated based on average shares outstanding.
2 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.
  
See accompanying Notes, which are an integral part of the Financial Statements.
151


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 offers five classes of shares: Investor Shares, ETF Shares, Admiral Shares, Institutional Shares, and Institutional Select Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors. ETF Shares are listed for trading on Nasdaq; they can be purchased and sold through a broker. The fund has not issued Institutional Select Shares through October 31, 2021.
Certain of the fund’s investments are in corporate debt instruments; the issuers' abilities to meet their obligations may be affected by economic developments in their respective industries. 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 securities denominated in currencies other than the U.S. dollar, the fund attempts to hedge its currency exposure. Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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, as furnished by independent pricing services. 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.
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
152


Total International Bond Index Fund
clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades 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. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities 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 gains (losses) on futures contracts.
During the year ended October 31, 2021, the fund’s average investments in long and short futures contracts each represented less than 1% of net assets, based on the average of the notional amounts at each quarter-end during the period.
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, rehypothecated or (under master netting agreements) resold. 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 securities pledged as collateral for open contracts are noted in the Schedule of Investments. 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 Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities 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 gains (losses) on forward currency contracts.
153


Total International Bond Index Fund
During the year ended October 31, 2021, the fund’s average investment in forward currency contracts represented 132% of net assets, based on the average of the notional amounts at each quarter-end during the period.
The following table summarizes the fund’s derivative assets and liabilities by counterparty for derivatives subject to arrangements that provide for offsetting assets and liabilities. Exchange traded derivatives are listed separately.
  Assets
Reflected in
Statement of
Assets and
Liabilities1
($000)
Liabilities
Reflected in
Statement of
Assets and
Liabilities1
($000)
Net Amount
Receivable
(Payable)
($000)
Amounts Not Offset in
the
Statement of Assets
and Liabilities
Net
Exposure3
(Not Less
Than $0)
($000)
  Collateral
Pledged2
($000)
Collateral
Received2
($000)
Derivatives Subject to
Offsetting Arrangements, by Counterparty
           
Bank of America, N.A. 55,536 (10,595) 44,941 8,294 36,647
Bank of Montreal (768) (768)
Barclays Bank plc 48,907 (24,320) 24,587 24,587
BNP Paribas 151,700 (158,518) (6,818) 218,981
Citibank, N.A. 9,705 (9,886) (181)
Commonwealth Bank of Australia 21,371 (101,127) (79,756) 106,811
Deutsche Bank AG 62,646 (30,483) 32,163 14,698 32,163
Goldman Sachs Bank USA 76,598 (26,975) 49,623 3,412 46,211
HSBC Bank plc 23,854 (12,727) 11,127 12,964 11,127
JPMorgan Chase Bank, N.A. 42,901 (37,427) 5,474 5,680 5,474
Morgan Stanley Capital Services Inc. 145,887 (40,161) 105,726 41,855 105,726
National Australia Bank Ltd. 54,437 (1,212) 53,225 42,740 10,485
Royal Bank of Canada 25,251 (41,684) (16,433) 70,597
Standard Chartered Bank 115,060 (17,140) 97,920 48,780 49,140
State Street Bank & Trust Co. 111,328 (69,875) 41,453 89,168 41,453
The Bank of New York Mellon Corp. 108,828 (52,862) 55,966 37,620 55,966
Toronto-Dominion Bank 113,489 (188,965) (75,476) 282,486
UBS AG 50,483 (44,457) 6,026 41,395 6,026
Exchange-Traded
Futures Contracts
511
Total 1,217,981 (869,182) 348,799 922,766 103,226 425,005
1  Absent an event of default or early termination, derivative assets and liabilities are presented gross and not offset in the Statement of Assets and Liabilities.
2  Securities or other assets pledged as collateral are noted in the Schedule of Investments and Statement of Assets and Liabilities. Securities or other assets received as collateral are held in a segregated account and not included in the fund’s security holdings in the Schedule of Investments, which may include amounts not subject to offsetting agreements.
154


Total International Bond Index Fund
3  Net Exposure represents the net amount receivable from the counterparty in the event of default. Counterparties are not required to exchange collateral if amount is below a specified minimum transfer amount.
5. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for income tax is required in the fund’s financial statements.
6. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end and may differ from net investment income and realized capital gains for financial reporting purposes.
7. Credit Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternate rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the year ended October 31, 2021, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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.
155


Total International Bond Index Fund
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 and are generally settled twice a month.
Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2021, the fund had contributed to Vanguard capital in the amount of $4,000,000, representing less than 0.01% of the fund’s net assets and 1.60% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.
C. Various inputs may be used to determine the value of the fund’s investments and derivatives. 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). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
156


Total International Bond Index Fund
The following table summarizes the market value of the fund’s investments and derivatives as of October 31, 2021, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
U.S. Government and Agency Obligations 1,806 1,806
Asset-Backed/Commercial Mortgage-Backed Securities 2 2
Corporate Bonds 23,701,296 23,701,296
Sovereign Bonds 91,220,932 91,220,932
Temporary Cash Investments 380,892 380,892
Total 380,892 114,924,036 115,304,928
Derivative Financial Instruments        
Assets        
Forward Currency Contracts 1,217,981 1,217,981
Liabilities        
Futures Contracts1 827 827
Forward Currency Contracts 869,182 869,182
Total 827 869,182 870,009
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
D. At October 31, 2021, the fair values of derivatives were reflected in the Statement of Assets and Liabilities as follows:
    
Statement of Assets and Liabilities Interest Rate
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Total
($000)
Unrealized Appreciation—Forward Currency Contracts 1,217,981 1,217,981
Total Assets 1,217,981 1,217,981
       
Unrealized Depreciation—Futures Contracts1 827 827
Unrealized Depreciation—Forward Currency Contracts 869,182 869,182
Total Liabilities 827 869,182 870,009
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
157


Total International Bond Index Fund
Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2021, were:
Realized Net Gain (Loss) on Derivatives Interest Rate
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Total
($000)
Futures Contracts (7,242) (7,242)
Forward Currency Contracts (731,036) (731,036)
Realized Net Gain (Loss) on Derivatives (7,242) (731,036) (738,278)
Change in Unrealized Appreciation (Depreciation) on Derivatives
Futures Contracts 71 71
Forward Currency Contracts 338,021 338,021
Change in Unrealized Appreciation (Depreciation) on Derivatives 71 338,021 338,092
E. Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for in-kind redemptions, foreign currency transactions, and the recognition of gain or loss from foreign currency hedges were reclassified between the following accounts:
  Amount
($000)
Paid-in Capital 2,688,971
Total Distributable Earnings (Loss) (2,688,971)
Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the deferral of losses from wash sales; the inclusion of payables for distributions; the recognition of unrealized gains or losses from certain derivative contracts; and the recognition of gain or loss from foreign currency hedges. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:
  Amount
($000)
Undistributed Ordinary Income 2,576,493
Undistributed Long-Term Gains 754,138
Capital Loss Carryforwards
Qualified Late-Year Losses
Net Unrealized Gains (Losses) 1,133,793
158


Total International Bond Index Fund
The tax character of distributions paid was as follows:
  Year Ended October 31,
  2021
Amount
($000)
2020
Amount
($000)
Ordinary Income* 1,147,385 4,629,092
Long-Term Capital Gains 248,179
Total 1,395,564 4,629,092
* Includes short-term capital gains, if any.
As of October 31, 2021, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:
  Amount
($000)
Tax Cost 114,021,102
Gross Unrealized Appreciation 4,239,013
Gross Unrealized Depreciation (2,955,188)
Net Unrealized Appreciation (Depreciation) 1,283,825
F. During the year ended October 31, 2021, the fund purchased $44,603,921,000 of investment securities and sold $82,937,622,000 of investment securities, other than U.S. government securities and temporary cash investments. Purchases and sales of U.S. government securities were $0 and $896,000, respectively. Purchases and sales include $0 and $49,637,141,000, respectively, in connection with in-kind purchases and redemptions of the fund's capital shares.
The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended October 31, 2021, such purchases were $225,330,000 and sales were $39,580,000, resulting in net realized gain of $830,000; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
G. Capital share transactions for each class of shares were:
    
  Year Ended October 31,  
  2021   2020
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 2,674,201 228,999   6,123,482 532,351
Issued in Lieu of Cash Distributions 315,494 27,384   962,557 84,531
Redeemed1 (3,884,387) (339,539)   (5,066,780) (442,293)
Net Increase (Decrease)—Investor Shares (894,692) (83,156)   2,019,259 174,589
159


Total International Bond Index Fund
  Year Ended October 31,  
  2021   2020
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
ETF Shares          
Issued 12,787,381 221,849   10,940,085 189,708
Issued in Lieu of Cash Distributions  
Redeemed (148,596) (2,575)   (965,169) (17,075)
Net Increase (Decrease)—ETF Shares 12,638,785 219,274   9,974,916 172,633
Admiral Shares          
Issued1 7,576,473 327,289   10,651,240 463,441
Issued in Lieu of Cash Distributions 408,933 17,736   1,596,357 70,148
Redeemed (28,235,010) (1,232,548)   (13,277,687) (576,941)
Net Increase (Decrease)—Admiral Shares (20,249,604) (887,523)   (1,030,090) (43,352)
Institutional Shares          
Issued 6,785,466 195,333   13,895,895 402,516
Issued in Lieu of Cash Distributions 236,584 6,798   1,168,846 34,210
Redeemed (34,301,638) (991,835)   (9,157,210) (265,472)
Net Increase (Decrease)—Institutional Shares (27,279,588) (789,704)   5,907,531 171,254
1 In November 2018, the fund announced changes to the availability and minimum investment criteria of the Investor and Admiral share classes. As a result, all of the outstanding Investor Shares automatically converted to Admiral Shares beginning in April 2019, with the exception of those held by Vanguard funds and certain other institutional investors. Investor Shares—Redeemed and Admiral Shares—Issued include 788 and 394 shares, respectively, in the amount of $9,000 from the conversion during the year ended October 31, 2020.
H. Management has determined that no events or transactions occurred subsequent to October 31, 2021, that would require recognition or disclosure in these financial statements.
160


Report of Independent Registered Public Accounting Firm
To the Board of Trustees of Vanguard Charlotte Funds and Shareholders of Vanguard Total International Bond Index Fund
Opinion on the Financial Statements
We have audited the accompanying statement of assets and liabilities, including the schedule of investments, of Vanguard Total International Bond Index Fund (one of the funds constituting Vanguard Charlotte Funds, referred to hereafter as the "Fund") as of October 31, 2021, the related statement of operations for the year ended October 31, 2021, the statement of changes in net assets for each of the two years in the period ended October 31, 2021, including the related notes, and the financial highlights for each of the five years in the period ended October 31, 2021 (collectively referred to as the "financial statements"). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of October 31, 2021, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended October 31, 2021 and the financial highlights for each of the five years in the period ended October 31, 2021 in conformity with accounting principles generally accepted in the United States of America.
Basis for Opinion
These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.
We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.
Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of October 31, 2021 by correspondence with the custodian, transfer agent and brokers; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.
/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 17, 2021
We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.
161



Special 2021 tax information (unaudited) for Vanguard Total International Bond Index Fund
This information for the fiscal year ended October 31, 2021, is included pursuant to provisions of the Internal Revenue Code.
The fund distributed $248,179,000 as capital gain dividends (20% rate gain distributions) to shareholders during the fiscal year.
For nonresident alien shareholders, 100% of short-term capital gain dividends distributed by the fund are qualified short-term capital gains.
The fund designates to shareholders foreign source income of $1,308,468,000 and foreign taxes paid of $20,255,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2022 to determine the calendar-year amounts to be included on their 2021 tax returns.
The percentage of the ordinary dividends reported by the fund that is treated as a Section 163(j) interest dividend and thus is eligible to be treated as interest income for purposes of Section 163(j) and the regulations thereunder is 100%.
162


"Bloomberg®" and Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index (USD Hedged) are service marks of Bloomberg Finance L.P. and its affiliates, including Bloomberg Index Services Limited (BISL), the administrator of the index (collectively, Bloomberg), and have been licensed for use for certain purposes by The Vanguard Group, Inc. (Vanguard).
The Total International Bond Index Fund is not sponsored, endorsed, sold or promoted by Bloomberg. Bloomberg does not make any representation or warranty, express or implied, to the owners of or counterparties to the Total International Bond Index Fund or any member of the public regarding the advisability of investing in securities generally or in the Total International Bond Index Fund particularly. The only relationship of Bloomberg to Vanguard is the licensing of certain trademarks, trade names and service marks and of the Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index (USD Hedged), which is determined, composed and calculated by BISL without regard to Vanguard or the Total International Bond Index Fund. Bloomberg has no obligation to take the needs of Vanguard or the owners of the Total International Bond Index Fund into consideration in determining, composing or calculating the Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index (USD Hedged). Bloomberg is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Total International Bond Index Fund to be issued. Bloomberg shall not have any obligation or liability, including, without limitation, to Total International Bond Index Fund customers, in connection with the administration, marketing or trading of the Total International Bond Index Fund.
BLOOMBERG DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE BLOOMBERG GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED) OR ANY DATA RELATED THERETO AND SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS OR INTERRUPTIONS THEREIN. BLOOMBERG DOES NOT MAKE ANY WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY VANGUARD, OWNERS OF THE TOTAL INTERNATIONAL BOND INDEX FUND OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE BLOOMBERG GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED) OR ANY DATA RELATED THERETO. BLOOMBERG DOES NOT MAKE ANY EXPRESS OR IMPLIED WARRANTIES AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE BLOOMBERG GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED) OR ANY DATA RELATED THERETO. WITHOUT LIMITING ANY OF THE FOREGOING, TO THE MAXIMUM EXTENT ALLOWED BY LAW, BLOOMBERG, ITS LICENSORS, AND ITS AND THEIR RESPECTIVE EMPLOYEES, CONTRACTORS, AGENTS, SUPPLIERS, AND VENDORS SHALL HAVE NO LIABILITY OR RESPONSIBILITY WHATSOEVER FOR ANY INJURY OR DAMAGES—WHETHER DIRECT, INDIRECT, CONSEQUENTIAL, INCIDENTAL, PUNITIVE OR OTHERWISE—ARISING IN CONNECTION WITH THE TOTAL INTERNATIONAL BOND INDEX FUND OR BLOOMBERG GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED) OR ANY DATA OR VALUES RELATING THERETO—WHETHER ARISING FROM THEIR NEGLIGENCE OR OTHERWISE, EVEN IF NOTIFIED OF THE POSSIBILITY THEREOF.
© 2021 Bloomberg.
Used with Permission. Source: Bloomberg Index Services Limited. Copyright 2021, Bloomberg. All rights reserved.
163


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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.
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 214 Vanguard funds.
Information for each trustee and executive officer of the fund appears below. That information, as well as the Vanguard fund count, is as of the date on the cover of this fund report. 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.
Interested Trustee1
Mortimer J. Buckley
Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chairman of the board (2019–present) of Vanguard and of each of the investment companies served by Vanguard; chief executive officer (2018–present) of Vanguard; chief executive officer, president, and trustee (2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) and trustee (2009–2017) of the Children’s Hospital of Philadelphia; and trustee (2018–present) and vice chair (2019–present) of The Shipley School.
Independent Trustees
Emerson U. Fullwood
Born in 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). Former president of the Worldwide Channels Group, Latin
America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.
Amy Gutmann
Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) 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.
F. Joseph Loughrey
Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services). Director of the V Foundation.
 
1  Mr. Buckley is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.


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. Chairman of the board of Saint Anselm College.
Mark Loughridge
Born in 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) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.
Scott C. Malpass
Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (retired June 2020) and vice president (retired June 2020) of the University of Notre Dame. Assistant professor (retired June 2020) of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Member of the board of Catholic Investment Services, Inc. (investment advisors) and the board of superintendence of the Institute for the Works of Religion.
Deanna Mulligan
Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: board chair (2020), chief executive officer (2011–2020), and president (2010–2019) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of the Guardian Life Insurance Company of America. Member of the board of the Economic Club of New York. Trustee of the Partnership for New York City (business leadership), Chief Executives for Corporate Purpose, NewYork-Presbyterian Hospital, and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.
André F. Perold
Born in 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 (private investment firm). Member of the board
(2018–present) of RIT Capital Partners (investment firm). Member of the investment committee of Partners Health Care System.
Sarah Bloom Raskin
Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Professor (2020–present), Distinguished Fellow of the Global Financial Markets Center (2020–present), and Rubenstein Fellow (2017–2020) at Duke University. Trustee (2017–present) of Amherst College and member of Amherst College Investment Committee (2019–present). Member of the Regenerative Crisis Response Committee (2020–present).
David A. Thomas
Born in 1956. Trustee since July 2021. Principal occupation(s) during the past five years and other experience: president of Morehouse College (2018–present). Professor of business administration, emeritus at Harvard University (2017–2018). Dean (2011–2016) and professor of management (2016–2017) at the Georgetown University McDonough School of Business. Director of DTE Energy Company (2013–present). Trustee of Common Fund (2019–present).
Peter F. Volanakis
Born in 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) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the BMW Group Mobility Council.


Executive Officers
Christine M. Buchanan
Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (2021–present) and treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG (audit, tax, and advisory services).
David Cermak
Born in 1960. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Finance director (2019–present) of each of the investment companies served by Vanguard. Managing director and head (2017–present) of Vanguard Investments Singapore. Managing director and head (2017–2019) of Vanguard Investments Hong Kong. Representative director and head (2014–2017) of Vanguard Investments Japan.
John Galloway
Born in 1973. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (September 2020–present) of each of the investment companies served by Vanguard. Head of Investor Advocacy (February 2020–present) and head of Marketing Strategy and Planning (2017–2020) at Vanguard. Deputy assistant to the President of the United States (2015).
Peter Mahoney
Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.
Anne E. Robinson
Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.
Michael Rollings
Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.
John E. Schadl
Born in 1972. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2019–present) of Vanguard and of each of the investment companies served by Vanguard. Assistant vice president (2019–present) of Vanguard Marketing Corporation.
Vanguard Senior Management Team
Matthew Benchener Thomas M. Rampulla
Joseph Brennan Karin A. Risi
Mortimer J. Buckley Anne E. Robinson
Gregory Davis Michael Rollings
John James Nitin Tandon
John T. Marcante Lauren Valente
Chris D. Mclsaac  


Connect with Vanguard®>vanguard.com
Fund Information > 800-662-7447
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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 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, www.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 www.sec.gov.
You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.
© 2021 The Vanguard Group, Inc.
All rights reserved.
U.S. Patent Nos. 6,879,964 and 7,720,749.
Vanguard Marketing Corporation, Distributor.
Q12310 122021

 

 

Annual Report   |   October 31, 2021
Vanguard Total International Bond II Index Fund


Contents
Your Fund’s Performance at a Glance

1
About Your Fund’s Expenses

2
Performance Summary

4
Financial Statements

7
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.


Your Fund’s Performance at a Glance
Vanguard Total International Bond II Index Fund was launched in February 2021, primarily for use in Vanguard’s funds of funds. Its strategy mirrors that of Vanguard Total International Bond Index Fund. For the period ended October 31, 2021, Institutional Shares returned –1.31% from their inception on February 17. Admiral Shares and Investor Shares launched a short while later, on February 26. Admiral Shares returned –0.27% for the period, and Investor Shares returned –0.28%.
Bond yields moved higher across much of the developed world during the fiscal year amid concerns about inflation and the prospect that some developed-market central banks might scale back their bond-buying programs or raise interest rates.
In general, developed bond markets depressed performance, with French, Australian, and Canadian issues lagging behind. Japanese issues, the largest in the benchmark by weight, recorded slightly positive total returns but could not lift the overall performance of the index into positive territory.
The fund regularly uses derivatives to hedge portfolio risks. Its holdings of forward currency contracts helped performance for the period.
At period-end, the fund’s 30-day SEC yield—a proxy for its income-generating potential over 12 months—ranged from 0.54% for Investor Shares to 0.60% for Institutional Shares.
Market Barometer
  Average Annual Total Returns
Periods Ended October 31, 2021
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 43.51% 22.01% 19.16%
Russell 2000 Index (Small-caps) 50.80 16.47 15.52
Russell 3000 Index (Broad U.S. market) 43.90 21.62 18.91
FTSE All-World ex US Index (International) 30.23 12.42 10.05
Bonds      
Bloomberg U.S. Aggregate Bond Index
(Broad taxable market)
-0.48% 5.63% 3.10%
Bloomberg Municipal Bond Index
(Broad tax-exempt market)
2.64 5.17 3.41
FTSE Three-Month U.S. Treasury Bill Index 0.05 1.08 1.12
CPI      
Consumer Price Index 6.22% 3.03% 2.73%
1


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.
2


Six Months Ended October 31, 2021      
Total International Bond II Index Fund Beginning
Account Value
4/30/2021
Ending
Account Value
10/31/2021
Expenses
Paid During
Period
Based on Actual Fund Return      
Investor Shares $1,000.00 $999.70 $0.66
Admiral™ Shares 1,000.00 999.80 0.55
Institutional Shares 1,000.00 999.60 0.35
Based on Hypothetical 5% Yearly Return      
Investor Shares $1,000.00 $1,024.55 $0.66
Admiral Shares 1,000.00 1,024.65 0.56
Institutional Shares 1,000.00 1,024.85 0.36
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 0.13% for Investor Shares, 0.11% 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 (184/365).
3


Total International Bond II 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.
Cumulative Performance: February 26, 2021, Through October 31, 2021
Initial Investment of $10,000
    Total Returns
Period Ended October 31, 2021
 
    Since
Inception
(2/26/2021)
Final Value
of a $10,000
Investment
 Total International Bond II Index Fund Investor Shares -0.28% $9,972
 Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index Hedged -0.20 9,980
“Since Inception” performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standard(s).
       
    Since
Inception
(2/26/2021)
Final Value
of a $10,000
Investment
Total International Bond II Index Fund
Admiral Shares
-0.27% $9,973
Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index Hedged -0.20 9,980
“Since Inception” performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standard(s).
See Financial Highlights for dividend and capital gains information.
4


Total International Bond II Index Fund
    Total Returns
Period Ended October 31, 2021
 
    Since
Inception
(2/17/2021)
Final Value
of a $5,000,000
Investment
Total International Bond II Index Fund
Institutional Shares
-1.31% $4,934,516
Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index Hedged -1.15 4,942,553
“Since Inception” performance is calculated from the Institutional Shares’ inception date for both the fund and its comparative standard(s).
5


Total International Bond II Index Fund
Fund Allocation
As of October 31, 2021
Japan 16.8%
France 11.9
Germany 11.1
Italy 7.8
United Kingdom 7.2
Canada 6.0
Spain 5.5
Supranational 4.0
Australia 3.3
United States 3.1
South Korea 2.7
Netherlands 2.7
Belgium 2.1
Switzerland 1.4
Austria 1.3
Sweden 1.3
Indonesia 1.0
Other 10.8
The table reflects the fund’s investments, except for short-term investments and derivatives.
The fund may invest in derivatives (such as futures and swap contracts) for various reasons, including, but not limited to, attempting to remain fully invested and tracking its target index as closely as possible.
6


Total International Bond II Index Fund
Financial Statements
Schedule of Investments
As of October 31, 2021
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value
($000)
U.S. Government and Agency Obligations (0.0%)    
  Tennessee Valley Authority (Cost$883)  5.625%   6/7/32 GBP         446           844
Corporate Bonds (19.9%)      
Australia (0.5%)                           
  Amcor UK Finance plc  1.125%  6/23/27 EUR       1,591      1,897
  Ampol Ltd.  4.000%  4/17/25 AUD       4,490      3,526
  APT Pipelines Ltd.  4.250% 11/26/24 GBP         319        472
  APT Pipelines Ltd.  2.000%  3/22/27 EUR       2,673      3,325
  APT Pipelines Ltd.  1.250%  3/15/33 EUR         765        864
  APT Pipelines Ltd.  2.500%  3/15/36 GBP       3,171      4,278
  Aurizon Network Pty Ltd.  4.000%  6/21/24 AUD         230        181
  Aurizon Network Pty Ltd.  2.000%  9/18/24 EUR         955      1,163
  Aurizon Network Pty Ltd.  3.125%   6/1/26 EUR       2,000      2,585
  Ausgrid Finance Pty Ltd.  3.750% 10/30/24 AUD       4,550      3,573
  Ausgrid Finance Pty Ltd.  1.250%  7/30/25 EUR       1,050      1,254
  Ausgrid Finance Pty Ltd.  1.814%   2/5/27 AUD         640        455
  AusNet Services Holdings Pty Ltd.  3.000%  2/13/24 EUR       1,273      1,570
  AusNet Services Holdings Pty Ltd.  1.500%  2/26/27 EUR       1,432      1,745
  AusNet Services Holdings Pty Ltd.  4.400%  8/16/27 AUD         160        131
  AusNet Services Holdings Pty Ltd.  4.200%  8/21/28 AUD         900        731
  AusNet Services Holdings Pty Ltd.  2.600%  7/31/29 AUD       1,970      1,428
  AusNet Services Holdings Pty Ltd.  1.625%  3/11/81 EUR       1,514      1,752
  Australia & New Zealand Banking Group Ltd.  0.625%  2/21/23 EUR       3,182      3,725
  Australia & New Zealand Banking Group Ltd.  5.000%  8/16/23 AUD       1,750      1,406
  Australia & New Zealand Banking Group Ltd.  0.450% 11/22/23 EUR       5,091      5,960
  Australia & New Zealand Banking Group Ltd.  2.500%  1/16/24 EUR       1,591      1,946
  Australia & New Zealand Banking Group Ltd.  3.100%   2/8/24 AUD       4,396      3,424
  Australia & New Zealand Banking Group Ltd.  0.669%   5/5/31 EUR       1,000      1,136
  Australia Pacific Airports Melbourne Pty Ltd.  3.125%  9/26/23 EUR       1,591      1,945
  Australia Pacific Airports Melbourne Pty Ltd.  1.750% 10/15/24 EUR       4,455      5,341
  Bank of Queensland Ltd.  0.125%   6/4/24 EUR      18,890     21,903
  BHP Billiton Finance Ltd.  3.230%  5/15/23 CAD       3,320      2,754
  BHP Billiton Finance Ltd.  3.250%  9/25/24 GBP       3,000      4,340
  BHP Billiton Finance Ltd.  3.250%  9/24/27 EUR       5,251      7,079
  BHP Billiton Finance Ltd.  1.500%  4/29/30 EUR       1,622      1,989
  BHP Billiton Finance Ltd.  3.125%  4/29/33 EUR         955      1,347
  BHP Billiton Finance Ltd.  4.300%  9/25/42 GBP       3,374      6,212
  Brisbane Airport Corp Pty Ltd.  3.900%  4/24/25 AUD       1,220        952
7


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Commonwealth Bank of Australia  2.750% 11/17/21 AUD       1,100        828
  Commonwealth Bank of Australia  3.250%  4/25/23 AUD         200        155
  Commonwealth Bank of Australia  3.000%  1/11/24 AUD       5,570      4,329
  Commonwealth Bank of Australia  0.375%  4/11/24 EUR       3,850      4,506
  Commonwealth Bank of Australia  0.500%  7/27/26 EUR      12,069     14,230
  Commonwealth Bank of Australia  3.000%   9/4/26 GBP       2,132      3,162
  Commonwealth Bank of Australia  0.875%  2/19/29 EUR       3,182      3,840
  Commonwealth Bank of Australia  1.936%  10/3/29 EUR       2,319      2,791
  CPIF Finance Pty Ltd.  2.485% 10/28/30 AUD       2,500      1,736
  DBNGP Finance Co. Pty Ltd.  4.225%  5/28/25 AUD         930        740
  ETSA Utilities Finance Pty Ltd.  3.500%  8/29/24 AUD         140        110
  GAIF Bond Issuer Pty Ltd.  1.900% 12/14/28 AUD       1,400        985
  Glencore Capital Finance DAC  1.125%  3/10/28 EUR       7,227      8,411
  Glencore Capital Finance DAC  1.250%   3/1/33 EUR       2,200      2,427
  Glencore Finance Europe Ltd.  0.625%  9/11/24 EUR       6,000      7,003
  Glencore Finance Europe Ltd.  1.750%  3/17/25 EUR       1,686      2,027
  Glencore Finance Europe Ltd.  1.500% 10/15/26 EUR       4,000      4,792
  Goodman Australia Finance Pty Ltd.  1.375%  9/27/25 EUR       1,273      1,524
  Lendlease Finance Ltd.  3.400% 10/27/27 AUD       1,000        753
  Lonsdale Finance Pty Ltd.  3.900% 10/15/25 AUD       1,610      1,280
  Macquarie Bank Ltd.  1.700%  2/12/25 AUD       3,000      2,228
  Macquarie Group Ltd.  1.250%   3/5/25 EUR       5,091      6,047
  Macquarie Group Ltd.  0.350%   3/3/28 EUR       2,530      2,864
  Macquarie Group Ltd.  2.723%  8/21/29 CAD       1,100        869
  Macquarie Group Ltd.  0.950%  5/21/31 EUR       4,000      4,561
  National Australia Bank Ltd.  0.875% 11/16/22 EUR       1,591      1,863
  National Australia Bank Ltd.  1.875%  1/13/23 EUR       1,591      1,888
  National Australia Bank Ltd.  0.250%  1/19/23 CHF         830        913
  National Australia Bank Ltd.  3.000%  2/10/23 AUD         668        516
  National Australia Bank Ltd.  2.900%  2/26/24 AUD       5,187      4,024
  National Australia Bank Ltd.  5.000%  3/11/24 AUD       2,250      1,834
  National Australia Bank Ltd.  0.250%  5/20/24 EUR       3,182      3,711
  National Australia Bank Ltd.  2.250%   6/6/25 EUR         573        716
  National Australia Bank Ltd.  0.300% 10/31/25 CHF       3,155      3,477
  National Australia Bank Ltd.  0.875%  2/19/27 EUR       3,182      3,820
  National Australia Bank Ltd.  3.515%  6/12/30 CAD       2,610      2,175
  National Australia Bank Ltd.  1.699%  9/15/31 GBP       3,250      4,327
  NBN Co. Ltd.  2.200% 12/16/30 AUD       2,250      1,529
  Origin Energy Finance Ltd.  1.000%  9/17/29 EUR       1,622      1,830
  Pacific National Finance Pty Ltd.  3.700%  9/24/29 AUD       5,000      3,614
  Qantas Airways Ltd.  5.250%   9/9/30 AUD       5,600      4,492
  Scentre Group Trust 1  2.250%  7/16/24 EUR       1,240      1,512
  Scentre Group Trust 1  3.875%  7/16/26 GBP       2,227      3,344
  Scentre Group Trust 1 / Scentre Group Trust 2  1.375%  3/22/23 EUR       1,591      1,871
  Scentre Group Trust 1 / Scentre Group Trust 2  1.750%  4/11/28 EUR       4,863      6,020
  Scentre Group Trust 1 / Scentre Group Trust 2  1.450%  3/28/29 EUR       5,591      6,791
  Scentre Group Trust 2  3.250%  9/11/23 EUR       1,996      2,451
  SGSP Australia Assets Pty Ltd.  3.750%  6/28/23 AUD         100         78
  Stockland Trust  1.625%  4/27/26 EUR       4,200      5,106
  Suncorp-Metway Ltd.  3.000%  9/13/23 AUD         800        621
  Suncorp-Metway Ltd.  3.250%  8/24/26 AUD         200        158
  Telstra Corp. Ltd.  2.500%  9/15/23 EUR       3,182      3,859
  Telstra Corp. Ltd.  1.125%  4/14/26 EUR       3,659      4,393
  Telstra Corp. Ltd.  4.000%  4/19/27 AUD         640        519
  Telstra Corp. Ltd.  1.375%  3/26/29 EUR       2,306      2,821
8


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Telstra Corp. Ltd.  1.000%  4/23/30 EUR       1,591      1,892
  Toyota Finance Australia Ltd.  0.500%   4/6/23 EUR         350        409
  Toyota Finance Australia Ltd.  3.300% 11/22/23 AUD         107         83
  Toyota Finance Australia Ltd.  2.280% 10/21/27 EUR       4,773      6,136
  Transurban Finance Co. Pty Ltd.  1.875%  9/16/24 EUR         955      1,156
  Transurban Finance Co. Pty Ltd.  4.555% 11/14/28 CAD         306        271
  Transurban Finance Co. Pty Ltd.  3.000%   4/8/30 EUR       2,863      3,851
  United Energy Distribution Pty Ltd.  3.850% 10/23/24 AUD         980        777
  Vicinity Centres Trust  3.375%   4/7/26 GBP         401        589
  Westpac Banking Corp.  2.750%  8/31/22 AUD       4,200      3,220
  Westpac Banking Corp.  2.625% 12/14/22 GBP         732      1,021
  Westpac Banking Corp.  0.375%   3/5/23 EUR       2,545      2,969
  Westpac Banking Corp.  0.320%   7/6/23 JPY     800,000      7,038
  Westpac Banking Corp.  5.250% 11/21/23 AUD       1,100        894
  Westpac Banking Corp.  0.500%  12/4/23 EUR       6,629      7,773
  Westpac Banking Corp.  3.000%  4/24/24 AUD         100         78
  Westpac Banking Corp.  0.500%  5/17/24 EUR         795        933
  Westpac Banking Corp.  0.625% 11/22/24 EUR       1,591      1,874
  Westpac Banking Corp.  4.125%   6/4/26 AUD       1,100        897
  Westpac Banking Corp.  1.125%   9/5/27 EUR       3,532      4,273
  Westpac Banking Corp.  1.450%  7/17/28 EUR         156        192
  Westpac Banking Corp.  0.766%  5/13/31 EUR       3,000      3,419
  Westpac Banking Corp.  1.375%  5/17/32 EUR       3,182      4,046
  Woolworths Group Ltd.  2.800%  5/20/30 AUD       3,180      2,307
  WSO Finance Pty Ltd.  4.500%  3/31/27 AUD       1,100        907
                   321,865
Austria (0.2%)                           
  BAWAG PSK Bank fuer Arbeit und Wirtschaft und Oesterreichische Postsparkasse AG  0.375%   9/3/27 EUR       2,300      2,610
  BAWAG PSK Bank fuer Arbeit und Wirtschaft und Oesterreichische Postsparkasse AG  0.010%  10/2/29 EUR       3,700      4,209
  BAWAG PSK Bank fuer Arbeit und Wirtschaft und Oesterreichische Postsparkasse AG  0.375%  3/25/41 EUR      12,000     13,500
  Erste Group Bank AG  3.500%   2/8/22 EUR         292        341
  Erste Group Bank AG  0.625%  1/19/23 EUR       1,400      1,638
  Erste Group Bank AG  0.750%   2/5/25 EUR         800        949
  Erste Group Bank AG  0.625%  4/17/26 EUR       4,800      5,698
  Erste Group Bank AG  0.750%  1/17/28 EUR       5,200      6,247
  Erste Group Bank AG  0.875%  5/15/34 EUR       4,800      5,879
1 Heta Asset Resolution AG  2.375% 12/13/22 EUR       1,000      1,190
  HYPO NOE Landesbank fuer Niederoesterreich und Wien AG  0.500%   9/4/25 EUR       1,600      1,885
  JAB Holdings BV  2.125%  9/16/22 EUR       1,000      1,181
  JAB Holdings BV  1.750%  5/25/23 EUR       1,500      1,787
  JAB Holdings BV  1.250%  5/22/24 EUR       3,200      3,807
  JAB Holdings BV  1.625%  4/30/25 EUR       4,000      4,827
  JAB Holdings BV  1.750%  6/25/26 EUR       4,500      5,478
  JAB Holdings BV  2.500%  4/17/27 EUR       1,600      2,023
  JAB Holdings BV  2.500%  6/25/29 EUR       3,700      4,717
  JAB Holdings BV  1.000%  7/14/31 EUR       4,000      4,493
  JAB Holdings BV  2.250% 12/19/39 EUR       3,200      3,866
  Mondi Finance plc  1.500%  4/15/24 EUR       3,675      4,384
1 OeBB-Infrastruktur AG  2.250%   7/4/23 EUR       3,182      3,839
1 OeBB-Infrastruktur AG  1.000% 11/18/24 EUR       3,819      4,561
1 OeBB-Infrastruktur AG  3.875%  6/30/25 EUR       3,182      4,206
9


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
1 OeBB-Infrastruktur AG  3.500% 10/19/26 EUR         573        775
1 OeBB-Infrastruktur AG  2.250%  5/28/29 EUR         955      1,270
1 OeBB-Infrastruktur AG  3.375%  5/18/32 EUR       2,227      3,364
  OMV AG  0.750%  12/4/23 EUR         795        936
  OMV AG  1.500%   4/9/24 EUR       7,000      8,393
  OMV AG  1.000% 12/14/26 EUR       1,098      1,316
  OMV AG  3.500%  9/27/27 EUR       1,000      1,373
  OMV AG  1.875%  12/4/28 EUR         700        888
  OMV AG  2.375%   4/9/32 EUR       4,776      6,398
  OMV AG  6.250% 12/29/49 EUR       1,050      1,462
  OMV AG  2.875% 12/31/99 EUR       2,300      2,770
  Raiffeisenlandesbank Niederoesterreich-Wien AG  0.625%  8/28/26 EUR       1,600      1,899
  Raiffeisenlandesbank Niederoesterreich-Wien AG  0.875%  1/24/28 EUR       1,000      1,208
  Raiffeisenlandesbank Niederoesterreich-Wien AG  0.875%  1/30/29 EUR       3,900      4,731
  Raiffeisen-Landesbank Steiermark AG  0.625%  1/20/23 EUR       1,200      1,403
  Raiffeisen-Landesbank Steiermark AG  1.375%  5/11/33 EUR       1,600      2,053
  Raiffeisenlandesbank Vorarlberg Waren-und Revisionsverband registrierte GenmbH  0.500%  9/17/25 EUR       1,600      1,881
  Telekom Finanzmanagement GmbH  3.125%  12/3/21 EUR         682        791
  UniCredit Bank Austria AG  2.375%  1/22/24 EUR       1,600      1,954
  UniCredit Bank Austria AG  0.250%   6/4/27 EUR       3,200      3,731
  UNIQA Insurance Group AG  6.875%  7/31/43 EUR         200        257
  UNIQA Insurance Group AG  6.000%  7/27/46 EUR       1,100      1,562
  Vienna Insurance Group AG Wiener Versicherung Gruppe  5.500%  10/9/43 EUR         200        254
                   143,984
Belgium (0.3%)                           
  AG Insurance SA  3.500%  6/30/47 EUR       2,300      3,006
  Ageas SA NV  3.250%   7/2/49 EUR       3,400      4,386
  Ageas SA NV  1.875% 11/24/51 EUR       3,000      3,458
  Anheuser-Busch InBev Finance Inc.  4.320%  5/15/47 CAD       2,858      2,429
  Anheuser-Busch InBev SA NV  9.750%  7/30/24 GBP         604      1,015
  Anheuser-Busch InBev SA NV  2.875%  9/25/24 EUR       1,432      1,800
  Anheuser-Busch InBev SA NV  4.000%  9/24/25 GBP       3,564      5,365
  Anheuser-Busch InBev SA NV  1.150%  1/22/27 EUR       3,182      3,828
  Anheuser-Busch InBev SA NV  2.125%  12/2/27 EUR       7,182      9,116
  Anheuser-Busch InBev SA NV  2.000%  3/17/28 EUR       7,286      9,231
  Anheuser-Busch InBev SA NV  1.500%  4/18/30 EUR         286        350
  Anheuser-Busch InBev SA NV  1.650%  3/28/31 EUR       6,587      8,157
  Anheuser-Busch InBev SA NV  2.875%   4/2/32 EUR       3,182      4,365
  Anheuser-Busch InBev SA NV  3.250%  1/24/33 EUR       1,622      2,321
  Anheuser-Busch InBev SA NV  2.000%  1/23/35 EUR       2,227      2,827
  Anheuser-Busch InBev SA NV  2.750%  3/17/36 EUR       6,103      8,373
  Anheuser-Busch InBev SA NV  2.850%  5/25/37 GBP       3,182      4,681
  Anheuser-Busch InBev SA NV  3.700%   4/2/40 EUR       5,409      8,408
  Anheuser-Busch InBev Worldwide Inc.  4.100%   9/6/27 AUD         780        633
  Argenta Spaarbank NV  1.000%   2/6/24 EUR       7,300      8,625
  Argenta Spaarbank NV  1.000% 10/13/26 EUR       4,500      5,297
  Argenta Spaarbank NV  1.000%  1/29/27 EUR       3,000      3,523
  Barry Callebaut Services NV  2.375%  5/24/24 EUR       1,146      1,392
  Belfius Bank SA  2.125%  1/30/23 EUR       1,100      1,311
  Belfius Bank SA  1.000% 10/26/24 EUR       3,200      3,793
  Belfius Bank SA  0.375%   9/2/25 EUR       3,200      3,707
10


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Belfius Bank SA  0.010% 10/15/25 EUR       3,000      3,443
  Belfius Bank SA  0.375%  2/13/26 EUR       1,900      2,194
  Belfius Bank SA  3.125%  5/11/26 EUR       3,800      4,860
  Belfius Bank SA  0.125%  9/14/26 EUR       3,200      3,709
  Belfius Bank SA  0.125%   2/8/28 EUR       6,500      7,344
  BNP Paribas Fortis SA  0.875%  3/22/28 EUR       3,200      3,872
  Brussels Airport Co. NV SA  1.000%   5/3/24 EUR       5,200      6,113
  Elia Group SA NV  1.500%   9/5/28 EUR         800        984
  Elia Group SA NV  2.750% 12/31/49 EUR       1,100      1,329
  Elia Transmission Belgium SA  1.375%  1/14/26 EUR       3,900      4,718
  Elia Transmission Belgium SA  0.875%  4/28/30 EUR       1,600      1,886
  Ethias SA  5.000%  1/14/26 EUR       2,900      3,899
  Euroclear Bank SA  0.500%  7/10/23 EUR       3,977      4,656
  Euroclear Bank SA  0.125%   7/7/25 EUR       5,000      5,779
  Euroclear Investments SA  1.125%  12/7/26 EUR       1,900      2,302
  Euroclear Investments SA  1.500%  4/11/30 EUR       2,000      2,496
  FLUVIUS System Operator CVBA  4.500%  11/8/21 EUR         200        231
  FLUVIUS System Operator CVBA  2.875%  10/9/23 EUR       1,000      1,223
  FLUVIUS System Operator CVBA  1.750%  12/4/26 EUR       1,900      2,369
  FLUVIUS System Operator CVBA  2.875%   5/7/29 EUR       2,600      3,543
  FLUVIUS System Operator CVBA  0.250%  12/2/30 EUR       8,800      9,857
  Groupe Bruxelles Lambert SA  1.375%  5/23/24 EUR       1,000      1,197
  KBC Bank NV  0.750% 10/24/27 EUR       2,400      2,882
  KBC Group NV  0.750% 10/18/23 EUR       1,400      1,648
  KBC Group NV  1.125%  1/25/24 EUR       3,700      4,395
  KBC Group NV  0.125%  9/10/26 EUR       3,000      3,434
  KBC Group NV  0.125%  1/14/29 EUR       6,200      6,960
  KBC Group NV  0.500%  12/3/29 EUR       1,600      1,842
  KBC Group NV  0.750%  5/31/31 EUR       3,000      3,416
  Proximus SADP  2.375%   4/4/24 EUR       1,100      1,348
  Solvay SA  1.625%  12/2/22 EUR       2,700      3,171
  Solvay SA  2.750%  12/2/27 EUR         100        131
  Solvay SA  0.500%   9/6/29 EUR       4,000      4,582
                   223,210
Bermuda (0.0%)                           
  PartnerRe Ireland Finance DAC  1.250%  9/15/26 EUR       2,183      2,608
  XLIT Ltd.  3.250%  6/29/47 EUR       4,144      5,311
                   7,919
Britain (0.0%)                           
  Blend Funding plc  2.922%   4/5/56 GBP         600        968
  DS Smith plc  0.875%  9/12/26 EUR       2,000      2,342
  Flagship Finance plc  1.875%  7/14/61 GBP         900      1,218
  Paragon Treasury plc  2.000%   5/7/36 GBP       1,000      1,369
  Pension Insurance Corp. plc  4.625%   5/7/31 GBP       2,000      3,026
  Santander UK Group Holdings plc  0.603%  9/13/29 EUR       5,000      5,638
  Tritax Big Box REIT plc  1.500% 11/27/33 GBP       1,500      1,934
  UNITE Group plc  3.500% 10/15/28 GBP       1,000      1,492
  United Utilities Water Finance plc  0.875% 10/28/29 GBP         500        646
  Wessex Water Services Finance plc  1.250%  1/12/36 GBP       1,000      1,227
  Western Power Distribution South Wales plc  1.625%  10/7/35 GBP       1,700      2,152
                   22,012
Canada (1.7%)                           
2 407 International Inc.  1.800%  5/22/25 CAD         859        694
  407 International Inc.  2.430%   5/4/27 CAD         684        560
11


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  407 International Inc.  3.140%   3/6/30 CAD       1,741      1,476
2 407 International Inc.  2.590%  5/25/32 CAD         955        761
  407 International Inc.  3.430%   6/1/33 CAD       2,000      1,706
  407 International Inc.  5.750%  2/14/36 CAD         635        641
  407 International Inc.  4.450% 11/15/41 CAD       1,591      1,495
  407 International Inc.  4.190%  4/25/42 CAD       1,751      1,594
  407 International Inc.  3.650%   9/8/44 CAD       3,182      2,697
  407 International Inc.  3.830%  5/11/46 CAD       3,182      2,773
  407 International Inc.  3.600%  5/21/47 CAD       2,188      1,841
  407 International Inc.  3.670%   3/8/49 CAD         637        543
  407 International Inc.  2.840%   3/7/50 CAD       1,304        955
  55 Ontario School Board Trust  5.900%   6/2/33 CAD       1,637      1,749
  Aeroports de Montreal  5.170%  9/17/35 CAD       1,154      1,152
  Aeroports de Montreal  5.670% 10/16/37 CAD         637        675
  Aeroports de Montreal  3.030%  4/21/50 CAD       2,558      1,965
  Aeroports de Montreal  3.441%  4/26/51 CAD       2,000      1,659
  AIMCo Realty Investors LP  2.266%  6/26/24 CAD       1,591      1,304
  AIMCo Realty Investors LP  3.367%   6/1/27 CAD         600        511
  AIMCo Realty Investors LP  3.043%   6/1/28 CAD         637        535
  AIMCo Realty Investors LP  2.712%   6/1/29 CAD       3,564      2,924
  Alberta Powerline LP  4.065%  12/1/53 CAD       1,539      1,362
  Alberta Powerline LP  4.065%   3/1/54 CAD         491        434
  Alectra Inc.  2.488%  5/17/27 CAD       3,501      2,878
  Alectra Inc.  1.751%  2/11/31 CAD         900        683
  Alectra Inc.  3.958%  7/30/42 CAD         300        270
  Alectra Inc.  3.458%  4/12/49 CAD         735        622
2 Algonquin Power Co.  4.090%  2/17/27 CAD         156        136
  Algonquin Power Co.  4.600%  1/29/29 CAD         721        655
  Algonquin Power Co.  2.850%  7/15/31 CAD       1,400      1,122
  Alimentation Couche-Tard Inc.  3.056%  7/26/24 CAD       3,386      2,822
  Alimentation Couche-Tard Inc.  3.600%   6/2/25 CAD       2,841      2,414
  Allied Properties REIT  3.636%  4/21/25 CAD       1,591      1,343
  Allied Properties REIT  1.726%  2/12/26 CAD       2,000      1,572
  Allied Properties REIT  3.113%   4/8/27 CAD       1,591      1,317
  Allied Properties REIT  3.394%  8/15/29 CAD         306        253
  Allied Properties REIT  3.117%  2/21/30 CAD       1,777      1,429
  Allied Properties REIT  3.095%   2/6/32 CAD       2,000      1,562
  AltaGas Canada Inc.  3.150%   4/6/26 CAD         578        488
  AltaGas Canada Inc.  4.260%  12/5/28 CAD         477        426
  AltaGas Ltd.  3.570%  6/12/23 CAD       2,000      1,660
  AltaGas Ltd.  3.840%  1/15/25 CAD       2,917      2,479
  AltaGas Ltd.  2.157%  6/10/25 CAD       1,100        887
  AltaGas Ltd.  3.980%  10/4/27 CAD         955        822
  AltaGas Ltd.  2.075%  5/30/28 CAD       1,668      1,290
  AltaGas Ltd.  4.500%  8/15/44 CAD         983        828
  AltaGas Ltd.  4.990%  10/4/47 CAD         350        317
  AltaLink LP  3.399%   6/6/24 CAD       3,182      2,682
  AltaLink LP  4.872% 11/15/40 CAD       1,624      1,618
  AltaLink LP  4.462%  11/8/41 CAD         764        729
  AltaLink LP  3.990%  6/30/42 CAD       1,231      1,108
  AltaLink LP  4.922%  9/17/43 CAD         955        975
  AltaLink LP  4.054% 11/21/44 CAD         582        531
  AltaLink LP  4.090%  6/30/45 CAD         762        701
  AltaLink LP  3.717%  12/3/46 CAD       1,295      1,131
  ARC Resources Ltd.  2.354%  3/10/26 CAD         600        483
12


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  ARC Resources Ltd.  3.465%  3/10/31 CAD       1,420      1,163
  Artis REIT  3.824%  9/18/23 CAD         600        492
  Atco Ltd.  5.500%  11/1/78 CAD         325        284
  Bank of Montreal  0.050% 12/30/22 CHF       2,225      2,445
  Bank of Montreal  0.200%  1/26/23 EUR       2,418      2,815
  Bank of Montreal  2.890%  6/20/23 CAD       5,819      4,831
  Bank of Montreal  3.200%   9/7/23 AUD         120         93
  Bank of Montreal  0.100% 10/20/23 EUR       3,182      3,700
  Bank of Montreal  2.850%   3/6/24 CAD       4,527      3,761
  Bank of Montreal  2.280%  7/29/24 CAD       6,300      5,176
  Bank of Montreal  2.700%  9/11/24 CAD       4,466      3,725
  Bank of Montreal  2.370%   2/3/25 CAD       3,819      3,137
  Bank of Montreal  4.609%  9/10/25 CAD       1,591      1,423
  Bank of Montreal  1.758%  3/10/26 CAD       2,842      2,268
  Bank of Montreal  1.551%  5/28/26 CAD       3,555      2,804
  Bank of Montreal  2.700%  12/9/26 CAD       3,182      2,667
  Bank of Montreal  3.190%   3/1/28 CAD       4,328      3,716
  Bank of Montreal  0.050%   6/8/29 EUR       9,867     11,196
  Bank of Montreal  2.880%  9/17/29 CAD       2,330      1,929
  Bank of Montreal  2.077%  6/17/30 CAD       2,609      2,103
  Bank of Montreal  1.928%  7/22/31 CAD       4,200      3,318
  Bank of Nova Scotia  2.360%  11/8/22 CAD      11,137      9,134
  Bank of Nova Scotia  1.750% 12/23/22 GBP         319        441
  Bank of Nova Scotia  2.980%  4/17/23 CAD       3,171      2,630
  Bank of Nova Scotia  2.380%   5/1/23 CAD       4,900      4,021
  Bank of Nova Scotia  0.250%  1/11/24 EUR       3,182      3,713
  Bank of Nova Scotia  2.160%   2/3/25 CAD       3,501      2,858
  Bank of Nova Scotia  0.010%  3/18/25 EUR       6,254      7,237
  Bank of Nova Scotia  0.125%   9/4/26 EUR       2,000      2,289
  Bank of Nova Scotia  2.620%  12/2/26 CAD       4,773      3,985
  Bank of Nova Scotia  0.010%  1/14/27 EUR       3,182      3,660
  Bank of Nova Scotia  1.400%  11/1/27 CAD       6,432      4,927
  Bank of Nova Scotia  3.100%   2/2/28 CAD       6,333      5,419
  Bank of Nova Scotia  3.890%  1/18/29 CAD       3,145      2,654
  Bank of Nova Scotia  2.836%   7/3/29 CAD       5,504      4,551
  BCI QuadReal Realty  1.680%   3/3/25 CAD         637        513
  BCI QuadReal Realty  1.747%  7/24/30 CAD       4,920      3,729
  bcIMC Realty Corp.  2.840%   6/3/25 CAD       2,227      1,857
  bcIMC Realty Corp.  3.000%  3/31/27 CAD       3,000      2,521
  Bell Telephone Co. of Canada or Bell Canada  3.350%  3/22/23 CAD       4,773      3,944
  Bell Telephone Co. of Canada or Bell Canada  2.700%  2/27/24 CAD       6,447      5,334
  Bell Telephone Co. of Canada or Bell Canada  2.750%  1/29/25 CAD         800        662
  Bell Telephone Co. of Canada or Bell Canada  3.350%  3/12/25 CAD       4,200      3,541
  Bell Telephone Co. of Canada or Bell Canada  3.550%   3/2/26 CAD         955        810
  Bell Telephone Co. of Canada or Bell Canada  2.900%  8/12/26 CAD         955        797
  Bell Telephone Co. of Canada or Bell Canada  1.650%  8/16/27 CAD         800        618
  Bell Telephone Co. of Canada or Bell Canada  3.800%  8/21/28 CAD       3,255      2,822
  Bell Telephone Co. of Canada or Bell Canada  2.900%  9/10/29 CAD       1,591      1,301
  Bell Telephone Co. of Canada or Bell Canada  2.500%  5/14/30 CAD       2,800      2,215
  Bell Telephone Co. of Canada or Bell Canada  3.000%  3/17/31 CAD       3,400      2,759
  Bell Telephone Co. of Canada or Bell Canada  7.850%   4/2/31 CAD       1,591      1,748
  Bell Telephone Co. of Canada or Bell Canada  4.750%  9/29/44 CAD       1,613      1,452
  Bell Telephone Co. of Canada or Bell Canada  4.350% 12/18/45 CAD       1,518      1,294
  Bell Telephone Co. of Canada or Bell Canada  4.450%  2/27/47 CAD       2,576      2,232
  Bell Telephone Co. of Canada or Bell Canada  3.500%  9/30/50 CAD       3,841      2,843
13


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Bell Telephone Co. of Canada or Bell Canada  4.050%  3/17/51 CAD       2,150      1,754
  Bridging North America GP  4.341%  8/31/53 CAD         693        583
  British Columbia Ferry Services Inc.  4.702% 10/23/43 CAD       1,784      1,786
  British Columbia Ferry Services Inc.  2.794% 10/15/49 CAD       1,591      1,209
  Brookfield Asset Management Inc.  5.040%   3/8/24 CAD         477        412
  Brookfield Asset Management Inc.  4.820%  1/28/26 CAD       6,045      5,367
  Brookfield Asset Management Inc.  3.800%  3/16/27 CAD       1,348      1,159
  Brookfield Asset Management Inc.  5.950%  6/14/35 CAD         300        303
  Brookfield Infrastructure Finance ULC  3.315%  2/22/24 CAD       1,591      1,328
  Brookfield Infrastructure Finance ULC  4.193%  9/11/28 CAD       1,352      1,181
  Brookfield Infrastructure Finance ULC  3.410%  10/9/29 CAD       1,559      1,297
  Brookfield Infrastructure Finance ULC  2.855%   9/1/32 CAD       1,337      1,032
  Brookfield Renewable Partners ULC  3.752%   6/2/25 CAD       1,687      1,438
  Brookfield Renewable Partners ULC  3.630%  1/15/27 CAD       1,241      1,061
  Brookfield Renewable Partners ULC  3.380%  1/15/30 CAD       1,751      1,480
  Brookfield Renewable Partners ULC  4.290%  11/5/49 CAD       1,241      1,106
  Brookfield Renewable Partners ULC  3.330%  8/13/50 CAD         800        605
  Bruce Power LP  3.000%  6/21/24 CAD         637        530
  Bruce Power LP  3.969%  6/23/26 CAD       1,591      1,377
  Bruce Power LP  4.010%  6/21/29 CAD         709        620
  Bruce Power LP  4.000%  6/21/30 CAD       1,912      1,674
  Bruce Power LP  4.132%  6/21/33 CAD       1,100        968
  Bruce Power LP  4.746%  6/21/49 CAD       1,218      1,159
  Cameco Corp.  4.190%  6/24/24 CAD         875        743
  Cameco Corp.  2.950% 10/21/27 CAD       2,700      2,188
  Canadian Imperial Bank of Commerce  0.000%  7/25/22 EUR       4,773      5,535
  Canadian Imperial Bank of Commerce  2.470%  12/5/22 CAD       1,600      1,315
  Canadian Imperial Bank of Commerce  0.250%  1/24/23 EUR       4,613      5,373
  Canadian Imperial Bank of Commerce  0.750%  3/22/23 EUR       3,182      3,732
  Canadian Imperial Bank of Commerce  2.430%   6/9/23 CAD       5,027      4,130
  Canadian Imperial Bank of Commerce  2.970%  7/11/23 CAD       3,163      2,631
  Canadian Imperial Bank of Commerce  3.290%  1/15/24 CAD       2,069      1,734
  Canadian Imperial Bank of Commerce  0.375%   5/3/24 EUR       6,045      7,051
  Canadian Imperial Bank of Commerce  2.350%  8/28/24 CAD       2,705      2,225
  Canadian Imperial Bank of Commerce  2.000%  4/17/25 CAD       4,982      4,041
  Canadian Imperial Bank of Commerce  3.300%  5/26/25 CAD       8,241      7,042
  Canadian Imperial Bank of Commerce  1.100%  1/19/26 CAD       1,500      1,164
  Canadian Imperial Bank of Commerce  1.700%  7/15/26 CAD       4,800      3,799
  Canadian Imperial Bank of Commerce  3.450%   4/4/28 CAD       2,545      2,111
  Canadian Imperial Bank of Commerce  0.010%  4/30/29 EUR      50,000     56,764
  Canadian Imperial Bank of Commerce  2.010%  7/21/30 CAD       8,100      6,517
  Canadian Imperial Bank of Commerce  1.960%  4/21/31 CAD       3,600      2,855
  Canadian National Railway Co.  2.800%  9/22/25 CAD       1,589      1,330
  Canadian National Railway Co.  3.200%  7/31/28 CAD         875        742
  Canadian National Railway Co.  3.000%   2/8/29 CAD       2,000      1,672
  Canadian National Railway Co.  3.950%  9/22/45 CAD       2,000      1,753
  Canadian National Railway Co.  3.600%   8/1/47 CAD       3,178      2,641
  Canadian National Railway Co.  3.600%  7/31/48 CAD         200        166
  Canadian National Railway Co.  3.600%   2/8/49 CAD         712        592
  Canadian National Railway Co.  3.050%   2/8/50 CAD         934        702
  Canadian Natural Resources Ltd.  3.550%   6/3/24 CAD       3,182      2,674
  Canadian Natural Resources Ltd.  2.500%  1/17/28 CAD       1,632      1,308
  Canadian Natural Resources Ltd.  4.850%  5/30/47 CAD         825        735
  Canadian Pacific Railway Co.  3.150%  3/13/29 CAD       3,634      3,042
  Canadian Pacific Railway Co.  6.450% 11/17/39 CAD         557        623
14


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Canadian Pacific Railway Co.  3.050%   3/9/50 CAD       3,314      2,396
  Canadian Tire Corp. Ltd.  3.167%   7/6/23 CAD       2,574      2,132
  Canadian Tire Corp. Ltd.  6.570%  2/24/34 CAD         275        278
  Canadian Tire Corp. Ltd.  5.610%   9/4/35 CAD         637        597
  Canadian Western Bank  2.924% 12/15/22 CAD       1,495      1,232
  Canadian Western Bank  2.597%   9/6/24 CAD       1,273      1,050
  Canadian Western Bank  2.606%  1/30/25 CAD       2,100      1,727
  Canadian Western Bank  1.818% 12/16/27 CAD       2,000      1,546
  Capital City Link General Partnership  4.386%  3/31/46 CAD         137        121
  Capital Power Corp.  4.284%  9/18/24 CAD         795        683
  Capital Power Corp.  4.986%  1/23/26 CAD         534        474
  Capital Power Corp.  4.424%   2/8/30 CAD         480        422
  Capital Power Corp.  3.147%  10/1/32 CAD       1,104        854
  CCL Industries Inc.  3.864%  4/13/28 CAD         516        442
  Cenovus Energy Inc.  3.550%  3/12/25 CAD       1,756      1,486
  Cenovus Energy Inc.  3.600%  3/10/27 CAD       1,950      1,648
  Cenovus Energy Inc.  3.500%   2/7/28 CAD       3,162      2,649
  Central 1 Credit Union  2.584%  12/6/23 CAD       1,863      1,534
  Central 1 Credit Union  2.391%  6/30/31 CAD       1,600      1,277
  CGI Inc.  2.100%  9/18/28 CAD       2,000      1,567
  Chartwell Retirement Residences  4.211%  4/28/25 CAD         319        271
  Choice Properties REIT  3.196%   3/7/23 CAD       2,000      1,652
  Choice Properties REIT  3.556%   9/9/24 CAD       1,283      1,083
  Choice Properties REIT  3.546%  1/10/25 CAD       2,545      2,150
  Choice Properties REIT  2.848%  5/21/27 CAD       2,214      1,826
  Choice Properties REIT  4.178%   3/8/28 CAD       1,591      1,394
  Choice Properties REIT  3.532%  6/11/29 CAD       2,259      1,912
  Choice Properties REIT  2.981%   3/4/30 CAD       2,000      1,615
  CI Financial Corp.  3.215%  7/22/24 CAD       2,000      1,675
  CI Financial Corp.  3.759%  5/26/25 CAD         955        811
  CI Financial Corp.  3.904%  9/27/27 CAD       1,423      1,211
  CIBC Capital Trust 10.250%  6/30/08 CAD         900        728
  Clover LP  4.216%  3/31/34 CAD         200        170
  Clover LP  4.216%  6/30/34 CAD         442        375
  Cogeco Communications Inc.  4.175%  5/26/23 CAD         716        598
  Cogeco Communications Inc.  2.991%  9/22/31 CAD       1,200        947
  Concordia University  6.550%   9/2/42 CAD         955      1,176
  Co-operators Financial Services Ltd.  3.327%  5/13/30 CAD       2,571      2,070
3 Cordelio Amalco GP I  4.087%  6/30/34 CAD       1,002        859
  Crombie REIT  4.800%  1/31/25 CAD       2,000      1,740
  Crombie REIT  3.677%  8/26/26 CAD         955        807
  Crombie REIT  3.917%  6/21/27 CAD         573        491
  Crombie REIT  2.686%  3/31/28 CAD         557        445
  Crombie REIT  3.211%  10/9/30 CAD         156        125
  Crombie REIT  3.133%  8/12/31 CAD       2,000      1,572
  Crosslinx Transit Solutions GP  4.651%  9/30/46 CAD         997        857
  CT REIT  3.527%   6/9/25 CAD       1,464      1,237
  CT REIT  3.289%   6/1/26 CAD       2,000      1,674
  CT REIT  3.469%  6/16/27 CAD         424        357
  CT REIT  2.371%   1/6/31 CAD         637        483
  CU Inc.  4.543% 10/24/41 CAD       2,037      1,937
  CU Inc.  3.805%  9/10/42 CAD       1,540      1,337
  CU Inc.  4.722%   9/9/43 CAD         955        936
  CU Inc.  4.085%   9/2/44 CAD       2,318      2,097
  CU Inc.  3.964%  7/27/45 CAD         955        851
15


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  CU Inc.  3.763% 11/19/46 CAD         477        414
  CU Inc.  3.548% 11/22/47 CAD         906        760
  CU Inc.  3.950% 11/23/48 CAD         509        456
  CU Inc.  2.963%   9/7/49 CAD       1,432      1,082
  CU Inc.  3.174%   9/5/51 CAD       2,700      2,150
  CU Inc.  3.857% 11/14/52 CAD         400        355
  CU Inc.  4.211% 10/29/55 CAD       4,773      4,492
  CU Inc.  4.593% 10/24/61 CAD         106        108
  Dollarama Inc.  3.550%  11/6/23 CAD       1,423      1,191
  Dollarama Inc.  1.871%   7/8/26 CAD       2,000      1,589
  Dollarama Inc.  1.505%  9/20/27 CAD         637        488
  Dollarama Inc.  2.443%   7/9/29 CAD       1,620      1,288
  Dream Industrial REIT  1.662% 12/22/25 CAD       4,000      3,155
  Dream Industrial REIT  2.057%  6/17/27 CAD       1,600      1,260
  Edmonton Regional Airports Authority  7.214%  11/1/30 CAD          87         83
  Emera Inc.  2.900%  6/16/23 CAD       7,323      6,045
  Empire Life Insurance Co.  3.664%  3/15/28 CAD         319        266
  Enbridge Gas Inc.  3.790%  7/10/23 CAD       9,544      7,981
  Enbridge Gas Inc.  3.150%  8/22/24 CAD       2,062      1,730
  Enbridge Gas Inc.  3.310%  9/11/25 CAD       1,031        876
  Enbridge Gas Inc.  2.810%   6/1/26 CAD         800        672
  Enbridge Gas Inc.  2.500%   8/5/26 CAD         637        528
  Enbridge Gas Inc.  2.370%   8/9/29 CAD       1,500      1,206
  Enbridge Gas Inc.  2.900%   4/1/30 CAD       1,591      1,326
  Enbridge Gas Inc.  5.200%  7/23/40 CAD         700        712
  Enbridge Gas Inc.  4.880%  6/21/41 CAD       1,098      1,077
  Enbridge Gas Inc.  4.500% 11/23/43 CAD         200        189
  Enbridge Gas Inc.  4.200%   6/2/44 CAD       1,064        970
  Enbridge Gas Inc.  4.000%  8/22/44 CAD         637        565
  Enbridge Gas Inc.  3.800%   6/1/46 CAD         955        827
  Enbridge Gas Inc.  3.590% 11/22/47 CAD         573        480
  Enbridge Gas Inc.  3.510% 11/29/47 CAD       1,495      1,236
  Enbridge Gas Inc.  3.010%   8/9/49 CAD       1,155        872
  Enbridge Gas Inc.  3.650%   4/1/50 CAD       1,591      1,349
  Enbridge Gas Inc.  4.950% 11/22/50 CAD         859        894
  Enbridge Gas Inc.  3.200%  9/15/51 CAD       1,700      1,372
  Enbridge Inc.  3.190%  12/5/22 CAD       4,796      3,966
  Enbridge Inc.  3.950% 11/19/24 CAD         955        815
  Enbridge Inc.  3.200%   6/8/27 CAD       4,199      3,502
  Enbridge Inc.  2.990%  10/3/29 CAD       2,782      2,267
  Enbridge Inc.  3.100%  9/21/33 CAD       2,700      2,135
  Enbridge Inc.  4.240%  8/27/42 CAD       1,587      1,295
  Enbridge Inc.  4.570%  3/11/44 CAD       2,089      1,782
  Enbridge Inc.  4.870% 11/21/44 CAD       1,337      1,184
  Enbridge Inc.  4.100%  9/21/51 CAD       1,300      1,032
  Enbridge Pipelines Inc.  3.790%  8/17/23 CAD       1,527      1,277
  Enbridge Pipelines Inc.  3.450%  9/29/25 CAD       1,668      1,419
  Enbridge Pipelines Inc.  3.000%  8/10/26 CAD       1,700      1,422
  Enbridge Pipelines Inc.  3.520%  2/22/29 CAD         604        516
  Enbridge Pipelines Inc.  2.820%  5/12/31 CAD       1,500      1,199
  Enbridge Pipelines Inc.  4.550%  8/17/43 CAD         519        449
  Enbridge Pipelines Inc.  4.550%  9/29/45 CAD       1,782      1,546
  Enbridge Pipelines Inc.  4.130%   8/9/46 CAD       1,591      1,300
  Enbridge Pipelines Inc.  4.330%  2/22/49 CAD       1,700      1,434
  Enbridge Pipelines Inc.  4.200%  5/12/51 CAD         900        744
16


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Energir Inc.  2.100%  4/16/27 CAD         714        578
  Energir Inc.  3.530%  5/16/47 CAD         862        734
  ENMAX Corp.  3.836%   6/5/28 CAD         637        542
  ENMAX Corp.  3.876% 10/18/29 CAD       1,591      1,356
  EPCOR Utilities Inc.  2.411%  6/30/31 CAD         800        633
  EPCOR Utilities Inc.  4.550%  2/28/42 CAD         950        907
  EPCOR Utilities Inc.  3.554% 11/27/47 CAD       2,227      1,871
  EPCOR Utilities Inc.  3.949% 11/26/48 CAD         200        179
  EPCOR Utilities Inc.  3.106%   7/8/49 CAD         500        388
  EPCOR Utilities Inc.  2.899%  5/19/50 CAD         600        447
  EPCOR Utilities Inc.  3.287%  6/28/51 CAD         700        562
  Equitable Bank  1.774%  9/21/23 CAD       1,600      1,292
  Equitable Bank  1.876% 11/26/25 CAD         637        501
  Fair Hydro Trust  3.357%  5/15/35 CAD       2,268      1,945
  Fairfax Financial Holdings Ltd.  4.950%   3/3/25 CAD       1,292      1,135
  Fairfax Financial Holdings Ltd.  4.700% 12/16/26 CAD       1,591      1,395
  Fairfax Financial Holdings Ltd.  4.250%  12/6/27 CAD       2,784      2,390
  Fairfax Financial Holdings Ltd.  4.230%  6/14/29 CAD       1,146        982
  Fairfax Financial Holdings Ltd.  3.950%   3/3/31 CAD       1,850      1,533
  Federated Co-Operatives Ltd.  3.917%  6/17/25 CAD         115         97
  Federation des Caisses Desjardins du Quebec  3.056%  9/11/23 CAD       1,591      1,327
  Federation des Caisses Desjardins du Quebec  2.417%  10/4/24 CAD       4,125      3,394
  Federation des Caisses Desjardins du Quebec  0.010%  9/24/25 EUR      13,458     15,554
  Federation des Caisses Desjardins du Quebec  1.093%  1/21/26 CAD       1,800      1,396
  Federation des Caisses Desjardins du Quebec  2.856%  5/26/30 CAD       3,551      2,932
  Federation des Caisses Desjardins du Quebec  1.992%  5/28/31 CAD       2,100      1,662
  First Capital REIT  4.790%  8/30/24 CAD       1,586      1,368
  First Capital REIT  4.323%  7/31/25 CAD       3,182      2,729
  First Capital REIT  3.604%   5/6/26 CAD       1,700      1,418
  First Capital REIT  3.456%  1/22/27 CAD       2,000      1,651
  First Capital REIT  3.753%  7/12/27 CAD         900        755
  First National Financial Corp.  2.961% 11/17/25 CAD         319        259
  Fortis Inc.  2.850% 12/12/23 CAD         828        686
  Fortis Inc.  2.180%  5/15/28 CAD       1,500      1,196
  FortisAlberta Inc.  3.672%   9/9/47 CAD       1,333      1,142
  FortisAlberta Inc.  3.734%  9/18/48 CAD         900        780
  FortisAlberta Inc.  2.632%   6/8/51 CAD         200        141
  FortisBC Energy Inc.  6.500%   5/1/34 CAD       3,182      3,502
  FortisBC Energy Inc.  6.050%  2/15/38 CAD       3,182      3,490
  FortisBC Inc.  4.000% 10/28/44 CAD         668        592
  Gibson Energy Inc.  2.450%  7/14/25 CAD         573        468
  Gibson Energy Inc.  2.850%  7/14/27 CAD         575        470
  Gibson Energy Inc.  3.600%  9/17/29 CAD       1,272      1,069
  Granite REIT Holdings LP  3.873% 11/30/23 CAD       1,591      1,339
  Granite REIT Holdings LP  3.062%   6/4/27 CAD         637        530
  Granite REIT Holdings LP  2.194%  8/30/28 CAD       2,000      1,575
  Granite REIT Holdings LP  2.378% 12/18/30 CAD       1,691      1,298
  Greater Toronto Airports Authority  1.540%   5/3/28 CAD       2,005      1,549
  Greater Toronto Airports Authority  2.730%   4/3/29 CAD       3,368      2,791
  Greater Toronto Airports Authority  3.260%   6/1/37 CAD       2,000      1,641
  Greater Toronto Airports Authority  2.750% 10/17/39 CAD       3,229      2,477
  Greater Toronto Airports Authority  5.300%  2/25/41 CAD         986      1,034
2 Greater Toronto Airports Authority  5.300%  2/25/41 CAD       1,591      1,535
  Great-West Lifeco Inc.  2.379%  5/14/30 CAD       4,500      3,598
  Great-West Lifeco Inc.  6.670%  3/21/33 CAD         633        690
17


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Great-West Lifeco Inc.  5.998% 11/16/39 CAD       3,501      3,827
  Great-West Lifeco Inc.  2.981%   7/8/50 CAD       1,400      1,026
  H&R REIT  3.416%  1/23/23 CAD       1,689      1,395
  H&R REIT  3.369%  1/30/24 CAD         482        401
  H&R REIT  2.906%   6/2/26 CAD       1,591      1,302
  H&R REIT  2.633%  2/19/27 CAD       1,400      1,127
  Honda Canada Finance Inc.  2.537%   3/1/23 CAD       2,000      1,647
  Honda Canada Finance Inc.  3.176%  8/28/23 CAD       1,909      1,589
  Honda Canada Finance Inc.  2.500%   6/4/24 CAD       1,500      1,236
  Honda Canada Finance Inc.  3.444%  5/23/25 CAD       1,368      1,163
  Honda Canada Finance Inc.  1.337%  3/17/26 CAD       1,177        920
  Honda Canada Finance Inc.  1.646%  2/25/28 CAD       1,263        979
  Hospital for Sick Children  3.416%  12/7/57 CAD         868        727
  Hospital Infrastructure Partners NOH Partnership  5.439%  1/31/45 CAD       1,388      1,351
  HSBC Bank Canada  2.542%  1/31/23 CAD       3,176      2,613
  HSBC Bank Canada  3.245%  9/15/23 CAD       3,182      2,655
  HSBC Bank Canada  1.782%  5/20/26 CAD       4,580      3,645
  Hydro One Inc.  0.710%  1/16/23 CAD       4,582      3,687
  Hydro One Inc.  2.540%   4/5/24 CAD         800        662
  Hydro One Inc.  1.760%  2/28/25 CAD       1,000        811
  Hydro One Inc.  2.770%  2/24/26 CAD       3,118      2,615
  Hydro One Inc.  3.020%   4/5/29 CAD       1,209      1,023
  Hydro One Inc.  2.160%  2/28/30 CAD       1,500      1,185
  Hydro One Inc.  7.350%   6/3/30 CAD         637        695
  Hydro One Inc.  1.690%  1/16/31 CAD       1,900      1,433
  Hydro One Inc.  6.930%   6/1/32 CAD         361        398
  Hydro One Inc.  5.360%  5/20/36 CAD         319        328
  Hydro One Inc.  4.890%  3/13/37 CAD       1,591      1,570
  Hydro One Inc.  5.490%  7/16/40 CAD       1,122      1,194
  Hydro One Inc.  4.390%  9/26/41 CAD       1,627      1,535
  Hydro One Inc.  4.590%  10/9/43 CAD       1,751      1,702
  Hydro One Inc.  4.170%   6/6/44 CAD         600        553
  Hydro One Inc.  3.910%  2/23/46 CAD       1,018        910
  Hydro One Inc.  5.000% 10/19/46 CAD         637        665
  Hydro One Inc.  3.720% 11/18/47 CAD       1,659      1,445
  Hydro One Inc.  3.630%  6/25/49 CAD       2,902      2,492
  Hydro One Inc.  2.710%  2/28/50 CAD       1,299        942
  Hydro One Inc.  3.640%   4/5/50 CAD         700        611
  Hydro One Inc.  3.100%  9/15/51 CAD       1,800      1,426
  Hydro One Inc.  4.000% 12/22/51 CAD         500        458
  Hydro One Inc.  3.790%  7/31/62 CAD         637        564
  Hydro Ottawa Holding Inc.  3.991%  5/14/43 CAD         668        583
  Hyundai Capital Canada Inc.  2.008%  5/12/26 CAD       3,100      2,468
  iA Financial Corp. Inc.  3.072%  9/24/31 CAD         955        797
  IGM Financial Inc.  3.440%  1/26/27 CAD       1,845      1,565
  IGM Financial Inc.  4.560%  1/25/47 CAD         286        267
  IGM Financial Inc.  4.115%  12/9/47 CAD       1,937      1,695
  IGM Financial Inc.  4.206%  3/21/50 CAD         446        403
  Industrial Alliance Insurance & Financial Services Inc.  3.300%  9/15/28 CAD       1,591      1,323
  InPower BC General Partnership  4.471%  3/31/33 CAD       1,162      1,002
  Intact Financial Corp.  3.770%   3/2/26 CAD         756        652
  Intact Financial Corp.  2.179%  5/18/28 CAD       1,500      1,196
  Intact Financial Corp.  1.928% 12/16/30 CAD       2,354      1,785
  Intact Financial Corp.  5.160%  6/16/42 CAD         948        953
18


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Intact Financial Corp.  2.954% 12/16/50 CAD       1,523      1,110
  Inter Pipeline Ltd.  2.608%  9/13/23 CAD         611        499
  Inter Pipeline Ltd.  2.734%  4/18/24 CAD         872        712
  Inter Pipeline Ltd.  3.173%  3/24/25 CAD         527        434
  Inter Pipeline Ltd.  3.484% 12/16/26 CAD         795        658
  Inter Pipeline Ltd.  4.232%   6/1/27 CAD       3,709      3,177
  Inter Pipeline Ltd.  4.637%  5/30/44 CAD         807        632
  Ivanhoe Cambridge II Inc.  2.909%  6/27/23 CAD         810        670
  Ivanhoe Cambridge II Inc.  2.296% 12/12/24 CAD       2,000      1,641
  Keyera Corp.  3.934%  6/21/28 CAD         701        600
  Keyera Corp.  3.959%  5/29/30 CAD       1,000        852
  Laurentian Bank of Canada  3.450%  6/27/23 CAD       1,606      1,339
  Loblaw Cos. Ltd.  4.860%  9/12/23 CAD         637        542
  Loblaw Cos. Ltd.  4.488% 12/11/28 CAD       2,359      2,132
  Loblaw Cos. Ltd.  2.284%   5/7/30 CAD       3,113      2,438
  Loblaw Cos. Ltd.  5.900%  1/18/36 CAD         795        800
  Lower Mattagami Energy LP  3.416%  6/20/24 CAD         637        539
  Lower Mattagami Energy LP  2.433%  5/14/31 CAD       2,700      2,173
  Lower Mattagami Energy LP  5.139%  5/18/41 CAD       1,591      1,646
  Lower Mattagami Energy LP  4.944%  9/21/43 CAD         135        139
  Magna International Inc.  3.100% 12/15/22 CAD       2,000      1,651
  Manufacturers Life Insurance Co.  3.181% 11/22/27 CAD       1,591      1,317
  Manulife Bank of Canada  2.844%  1/12/23 CAD       1,965      1,621
  Manulife Bank of Canada  2.378% 11/19/24 CAD         923        760
  Manulife Bank of Canada  1.337%  2/26/26 CAD       3,497      2,753
  Manulife Finance Delaware LP  5.059% 12/15/41 CAD       1,206      1,159
  Manulife Financial Corp.  3.049%  8/20/29 CAD       1,591      1,324
  Manulife Financial Corp.  2.237%  5/12/30 CAD       4,274      3,471
  Manulife Financial Corp.  2.818%  5/13/35 CAD       3,546      2,874
  McGill University Health Centre  5.360% 12/31/43 CAD         156        170
  Metro Inc.  3.390%  12/6/27 CAD       3,377      2,867
  Metro Inc.  5.970% 10/15/35 CAD       1,606      1,633
  Metro Inc.  4.270%  12/4/47 CAD         833        724
  Metro Inc.  3.413%  2/28/50 CAD       1,603      1,207
  Morguard Corp.  4.715%  1/25/24 CAD         885        727
  National Bank of Canada  0.250%  7/24/23 EUR         637        743
  National Bank of Canada  0.000%  9/29/23 EUR       1,464      1,699
  National Bank of Canada  0.375%  1/15/24 EUR       1,591      1,861
  National Bank of Canada  2.545%  7/12/24 CAD       2,927      2,417
  National Bank of Canada  2.580%   2/3/25 CAD       2,132      1,763
  National Bank of Canada  0.750%  3/13/25 EUR       2,863      3,394
  National Bank of Canada  1.534%  6/15/26 CAD       1,800      1,418
  National Bank of Canada  1.573%  8/18/26 CAD       3,200      2,606
  National Bank of Canada  3.183%   2/1/28 CAD       3,165      2,613
  NAV Canada  0.937%   2/9/26 CAD       1,700      1,322
  NAV Canada  2.063%  5/29/30 CAD       1,273      1,005
  NAV Canada  3.534%  2/23/46 CAD         319        275
  NAV Canada  3.293%  3/30/48 CAD       2,227      1,853
  NAV Canada  2.924%  9/29/51 CAD       1,500      1,165
  Nissan Canada Inc.  1.626%  3/18/24 CAD       1,800      1,436
  Nissan Canada Inc.  2.103%  9/22/25 CAD       4,600      3,659
  North West Redwater Partnership / NWR Financing Co. Ltd.  1.200%  12/1/23 CAD       2,500      2,003
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.200%  7/22/24 CAD         637        533
19


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.200%  4/24/26 CAD         637        539
  North West Redwater Partnership / NWR Financing Co. Ltd.  2.000%  12/1/26 CAD       1,200        955
  North West Redwater Partnership / NWR Financing Co. Ltd.  2.800%   6/1/27 CAD       2,418      2,000
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.250%   6/1/29 CAD       1,575      1,411
  North West Redwater Partnership / NWR Financing Co. Ltd.  2.800%   6/1/31 CAD       2,000      1,596
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.150%   6/1/33 CAD       1,751      1,541
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.650%   6/1/35 CAD       1,200        996
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.750%   6/1/37 CAD         955        881
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.350%  1/10/39 CAD         919        817
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.700%  2/23/43 CAD       1,304      1,052
  North West Redwater Partnership / NWR Financing Co. Ltd.  4.050%  7/22/44 CAD       1,989      1,689
  North West Redwater Partnership / NWR Financing Co. Ltd.  3.750%   6/1/51 CAD       2,000      1,619
  Northern Courier Pipeline LP  3.365%  6/30/42 CAD         479        390
2 Northern Courier Pipeline LP  3.365%  6/30/42 CAD         918        746
  Northwestern Hydro Acquisition Co. II LP  3.877% 12/31/36 CAD       1,040        889
  Northwestern Hydro Acquisition Co. III LP  3.940% 12/31/38 CAD       1,147        979
  Nouvelle Autoroute 30 Financement Inc.  4.114%  3/31/42 CAD       1,818      1,565
  Nova Scotia Power Inc.  5.610%  6/15/40 CAD       1,368      1,439
  Nova Scotia Power Inc.  4.500%  7/20/43 CAD       1,053        988
  Nova Scotia Power Inc.  3.571%   4/5/49 CAD       1,783      1,476
  Nova Scotia Power Inc.  3.307%  4/25/50 CAD         637        503
  OMERS Realty Corp.  3.358%   6/5/23 CAD       1,273      1,061
  OMERS Realty Corp.  2.858%  2/23/24 CAD       1,586      1,321
  OMERS Realty Corp.  3.328% 11/12/24 CAD         210        178
  OMERS Realty Corp.  3.331%   6/5/25 CAD       3,015      2,556
  OMERS Realty Corp.  3.244%  10/4/27 CAD       2,000      1,698
  OMERS Realty Corp.  3.628%   6/5/30 CAD       1,432      1,256
  Ontario Power Generation Inc.  3.315%  10/4/27 CAD       2,291      1,954
  Ontario Power Generation Inc.  2.977%  9/13/29 CAD       2,545      2,118
  Ontario Power Generation Inc.  3.215%   4/8/30 CAD       1,909      1,619
  Ontario Power Generation Inc.  3.838%  6/22/48 CAD       1,909      1,640
  Ontario Power Generation Inc.  3.651%  9/13/50 CAD         800        667
  Ontario Power Generation Inc.  2.947%  2/21/51 CAD       1,252        915
  Original Wempi Inc.  4.056%  2/13/24 CAD         248        203
  Original Wempi Inc.  4.309%  2/13/24 CAD         547        451
  Ottawa MacDonald-Cartier International Airport Authority  3.933%   6/9/45 CAD         297        239
  Pembina Pipeline Corp.  2.560%   6/1/23 CAD       1,289      1,058
  Pembina Pipeline Corp.  2.990%  1/22/24 CAD       2,545      2,107
  Pembina Pipeline Corp.  3.540%   2/3/25 CAD       1,500      1,264
  Pembina Pipeline Corp.  3.710%  8/11/26 CAD       1,544      1,314
  Pembina Pipeline Corp.  4.240%  6/15/27 CAD         955        832
  Pembina Pipeline Corp.  4.020%  3/27/28 CAD       1,000        862
  Pembina Pipeline Corp.  3.620%   4/3/29 CAD       1,555      1,315
  Pembina Pipeline Corp.  3.310%   2/1/30 CAD       2,354      1,940
20


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Pembina Pipeline Corp.  4.750%  4/30/43 CAD         955        813
  Pembina Pipeline Corp.  4.810%  3/25/44 CAD       1,766      1,514
  Pembina Pipeline Corp.  4.740%  1/21/47 CAD       1,136        967
  Pembina Pipeline Corp.  4.750%  3/26/48 CAD       2,032      1,735
  Pembina Pipeline Corp.  4.540%   4/3/49 CAD       1,782      1,477
  Pembina Pipeline Corp.  4.670%  5/28/50 CAD         826        698
  Penske Truck Leasing Canada Inc.  2.850%  12/7/22 CAD       2,493      2,046
  Plenary Properties LTAP LP  6.288%  1/31/44 CAD       1,576      1,665
  Power Corp. of Canada  4.455%  7/27/48 CAD       1,160      1,091
  Power Financial Corp.  6.900%  3/11/33 CAD         399        430
  Reliance LP  3.836%  3/15/25 CAD       2,000      1,700
  Reliance LP  3.750%  3/15/26 CAD         609        520
  Reliance LP  2.680%  12/1/27 CAD       3,029      2,427
  Reliance LP  2.670%   8/1/28 CAD       1,200        955
  RioCan Real Estate Investment Trust  3.287%  2/12/24 CAD       1,400      1,171
  RioCan REIT  3.209%  9/29/23 CAD       2,000      1,658
  RioCan REIT  2.576%  2/12/25 CAD       1,368      1,123
  RioCan REIT  1.974%  6/15/26 CAD         955        754
  RioCan REIT  2.361%  3/10/27 CAD         573        456
  Rogers Communications Inc.  4.000%  3/13/24 CAD       2,641      2,230
  Rogers Communications Inc.  3.650%  3/31/27 CAD       2,983      2,530
  Rogers Communications Inc.  3.250%   5/1/29 CAD       1,846      1,516
  Rogers Communications Inc.  6.680%  11/4/39 CAD       1,168      1,232
  Rogers Communications Inc.  6.110%  8/25/40 CAD       1,991      1,989
  Rogers Communications Inc.  6.560%  3/22/41 CAD       1,141      1,197
  Royal Bank of Canada  2.360%  12/5/22 CAD       4,773      3,918
  Royal Bank of Canada  2.949%   5/1/23 CAD       5,182      4,299
  Royal Bank of Canada  0.250%  6/28/23 EUR       5,123      5,976
  Royal Bank of Canada  3.296%  9/26/23 CAD       6,273      5,243
  Royal Bank of Canada  2.333%  12/5/23 CAD       2,663      2,201
  Royal Bank of Canada  0.250%  1/29/24 EUR       3,501      4,085
  Royal Bank of Canada  2.352%   7/2/24 CAD       6,391      5,255
  Royal Bank of Canada  0.125%  7/23/24 EUR       3,955      4,587
  Royal Bank of Canada  2.609%  11/1/24 CAD       6,845      5,663
  Royal Bank of Canada  1.375%  12/9/24 GBP         955      1,307
  Royal Bank of Canada  1.936%   5/1/25 CAD       3,314      2,684
  Royal Bank of Canada  1.589%   5/4/26 CAD       4,060      3,210
  Royal Bank of Canada  0.050%  6/19/26 EUR       5,409      6,242
  Royal Bank of Canada  1.000%   9/9/26 GBP       5,000      6,660
  Royal Bank of Canada  0.010%  1/21/27 EUR       4,773      5,485
  Royal Bank of Canada  2.328%  1/28/27 CAD       5,651      4,586
  Royal Bank of Canada  1.833%  7/31/28 CAD       2,200      1,715
  Royal Bank of Canada  2.740%  7/25/29 CAD       3,182      2,625
  Royal Bank of Canada  2.880% 12/23/29 CAD       2,631      2,179
  Royal Bank of Canada  2.088%  6/30/30 CAD       2,227      1,800
  Royal Bank of Canada  0.010%  1/27/31 EUR       9,000     10,101
  Royal Bank of Canada  1.670%  1/28/33 CAD       3,900      2,977
  Sagen MI Canada Inc.  4.242%   4/1/24 CAD         326        277
  Sagen MI Canada Inc.  2.955%   3/1/27 CAD         589        478
  Sagen MI Canada Inc.  3.261%   3/5/31 CAD         700        561
  Saputo Inc.  3.603%  8/14/25 CAD       2,261      1,921
  Saputo Inc.  1.415%  6/19/26 CAD         637        494
  Saputo Inc.  2.242%  6/16/27 CAD       1,241        987
  Saputo Inc.  2.297%  6/22/28 CAD         700        553
  Scotiabank Capital Trust  5.650% 12/31/56 CAD       1,255      1,348
21


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  SEC LP and Arci Ltd.  5.188%  8/29/33 CAD         436        384
  Shaw Communications Inc.  4.350%  1/31/24 CAD       3,182      2,702
  Shaw Communications Inc.  3.800%   3/1/27 CAD         900        764
  Shaw Communications Inc.  3.300% 12/10/29 CAD       1,100        902
  Shaw Communications Inc.  2.900%  12/9/30 CAD       1,891      1,487
  Shaw Communications Inc.  6.750%  11/9/39 CAD       3,240      3,416
  Shaw Communications Inc.  4.250%  12/9/49 CAD       1,113        889
  SmartCentres REIT  3.192%  6/11/27 CAD       2,000      1,663
  SmartCentres REIT  3.834% 12/21/27 CAD       1,591      1,358
  SmartCentres REIT  2.307% 12/18/28 CAD         828        641
  SmartCentres REIT  3.526% 12/20/29 CAD       2,069      1,720
  SmartCentres REIT  3.648% 12/11/30 CAD         637        529
  Sobeys Inc.  4.700%   8/8/23 CAD       1,591      1,354
  SSL Finance Inc.  4.099% 10/31/45 CAD         914        792
  Summit Industrial Income REIT  2.150%  9/17/25 CAD         414        333
  Summit Industrial Income REIT  2.250%  1/12/27 CAD       1,000        800
  Summit Industrial Income REIT  2.440%  7/14/28 CAD       2,000      1,583
  Sun Life Financial Inc.  3.050%  9/19/28 CAD       3,182      2,638
  Sun Life Financial Inc.  2.580%  5/10/32 CAD       1,751      1,430
  Sun Life Financial Inc.  2.060%  10/1/35 CAD       4,187      3,184
  Sun Life Financial Inc.  5.400%  5/29/42 CAD       1,544      1,561
  Suncor Energy Inc.  3.000%  9/14/26 CAD       3,030      2,529
  Suncor Energy Inc.  3.100%  5/24/29 CAD       2,000      1,657
  Suncor Energy Inc.  5.000%   4/9/30 CAD       2,609      2,432
  Suncor Energy Inc.  5.390%  3/26/37 CAD       1,368      1,313
  Suncor Energy Inc.  4.340%  9/13/46 CAD         663        559
  Suncor Energy Inc.  3.950%   3/4/51 CAD       1,337      1,059
  TELUS Corp.  3.350%  3/15/23 CAD         130        107
  TELUS Corp.  3.350%   4/1/24 CAD       3,405      2,849
  TELUS Corp.  3.750%  1/17/25 CAD       1,420      1,210
  TELUS Corp.  3.750%  3/10/26 CAD       2,193      1,885
  TELUS Corp.  2.750%   7/8/26 CAD       1,300      1,079
  TELUS Corp.  2.350%  1/27/28 CAD       1,909      1,527
  TELUS Corp.  3.625%   3/1/28 CAD       3,054      2,620
  TELUS Corp.  3.300%   5/2/29 CAD       2,408      2,019
  TELUS Corp.  3.150%  2/19/30 CAD       3,100      2,558
  TELUS Corp.  2.850% 11/13/31 CAD         500        398
  TELUS Corp.  4.400%   4/1/43 CAD         431        365
  TELUS Corp.  4.850%   4/5/44 CAD       2,943      2,643
  TELUS Corp.  4.750%  1/17/45 CAD       1,255      1,113
  TELUS Corp.  4.400%  1/29/46 CAD       1,566      1,325
  TELUS Corp.  4.700%   3/6/48 CAD       1,259      1,114
  TELUS Corp.  3.950%  2/16/50 CAD       2,215      1,748
  TELUS Corp.  4.100%   4/5/51 CAD       1,590      1,287
  Teranet Holdings LP  3.544%  6/11/25 CAD       1,622      1,368
  Teranet Holdings LP  5.754% 12/17/40 CAD       1,080      1,037
  Teranet Holdings LP  6.100%  6/17/41 CAD         600        601
  Thomson Reuters Corp.  2.239%  5/14/25 CAD       6,441      5,244
  TMX Group Ltd.  4.461%  10/3/23 CAD       1,816      1,539
  TMX Group Ltd.  3.779%   6/5/28 CAD       1,400      1,227
  Toromont Industries Ltd.  3.842% 10/27/27 CAD         699        602
  Toronto Hydro Corp.  2.520%  8/25/26 CAD       1,751      1,461
  Toronto Hydro Corp.  2.430% 12/11/29 CAD       1,909      1,554
  Toronto Hydro Corp.  5.540%  5/21/40 CAD         600        643
  Toronto Hydro Corp.  3.485%  2/28/48 CAD       1,622      1,375
22


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Toronto Hydro Corp.  2.990% 12/10/49 CAD         700        548
  Toronto-Dominion Bank  0.375%  4/27/23 EUR       6,682      7,802
  Toronto-Dominion Bank  3.005%  5/30/23 CAD       4,773      3,967
  Toronto-Dominion Bank  1.909%  7/18/23 CAD       4,302      3,517
  Toronto-Dominion Bank  2.850%   3/8/24 CAD       4,451      3,701
  Toronto-Dominion Bank  0.500%   4/3/24 EUR       4,137      4,853
  Toronto-Dominion Bank  2.050%  7/10/24 AUD       2,000      1,513
  Toronto-Dominion Bank  3.226%  7/24/24 CAD       3,999      3,379
  Toronto-Dominion Bank  2.496%  12/2/24 CAD       8,936      7,373
  Toronto-Dominion Bank  1.943%  3/13/25 CAD       4,482      3,635
  Toronto-Dominion Bank  0.625%   6/6/25 EUR       4,455      5,264
  Toronto-Dominion Bank  1.128%  12/9/25 CAD       3,309      2,582
  Toronto-Dominion Bank  0.100%  7/19/27 EUR       6,332      7,303
  Toronto-Dominion Bank  1.888%   3/8/28 CAD       9,876      7,783
  Toronto-Dominion Bank  3.589%  9/14/28 CAD       4,545      3,800
  Toronto-Dominion Bank  3.224%  7/25/29 CAD       3,349      2,800
  Toronto-Dominion Bank  3.105%  4/22/30 CAD       5,272      4,404
  Toronto-Dominion Bank  4.859%   3/4/31 CAD       3,073      2,761
  Toronto-Dominion Bank  3.060%  1/26/32 CAD       3,118      2,589
  Toyota Credit Canada Inc.  2.700%  1/25/23 CAD       1,420      1,170
  Toyota Credit Canada Inc.  3.040%  7/12/23 CAD       1,430      1,188
  Toyota Credit Canada Inc.  2.640%  3/27/24 CAD       1,600      1,324
  Toyota Credit Canada Inc.  1.270%  7/22/24 CAD       2,000      1,598
  Toyota Credit Canada Inc.  2.310% 10/23/24 CAD       1,752      1,438
  Toyota Credit Canada Inc.  2.110%  2/26/25 CAD       1,592      1,301
  Toyota Credit Canada Inc.  1.180%  2/23/26 CAD       1,770      1,384
  TransCanada PipeLines Ltd.  3.690%  7/19/23 CAD       1,668      1,391
  TransCanada PipeLines Ltd.  3.300%  7/17/25 CAD       3,549      2,992
  TransCanada PipeLines Ltd.  3.800%   4/5/27 CAD       4,509      3,887
  TransCanada PipeLines Ltd.  3.390%  3/15/28 CAD         955        803
  TransCanada PipeLines Ltd.  6.280%  5/26/28 CAD       1,436      1,384
  TransCanada PipeLines Ltd.  3.000%  9/18/29 CAD       1,709      1,398
  TransCanada PipeLines Ltd.  2.970%   6/9/31 CAD       1,800      1,444
  TransCanada PipeLines Ltd.  4.550% 11/15/41 CAD       2,227      1,909
  TransCanada PipeLines Ltd.  4.350%   6/6/46 CAD       1,573      1,307
  TransCanada PipeLines Ltd.  4.330%  9/16/47 CAD       2,991      2,480
  TransCanada PipeLines Ltd.  4.180%   7/3/48 CAD       3,211      2,602
  TransCanada PipeLines Ltd.  4.340% 10/15/49 CAD       2,635      2,184
  TransEd Partners GP  3.951%  9/30/50 CAD         586        464
  Trillium Health Partners Volunteers  3.702% 12/20/58 CAD         335        292
  University of Ottawa  2.635%  2/13/60 CAD       1,171        813
  University of Toronto  4.251%  12/7/51 CAD         795        755
2 Vancouver Airport Authority  7.425%  12/7/26 CAD       4,773      4,847
  Vancouver Airport Authority  3.857% 11/10/45 CAD         326        291
  Vancouver Airport Authority  2.874% 10/18/49 CAD         700        532
  Vancouver Airport Authority  2.800%  9/21/50 CAD         795        589
  Westcoast Energy Inc.  3.430%  9/12/24 CAD       2,132      1,796
  Westcoast Energy Inc.  3.770%  12/8/25 CAD       1,538      1,321
  Westcoast Energy Inc.  4.791% 10/28/41 CAD         704        638
  WSP Global Inc.  2.408%  4/19/28 CAD       1,000        797
  York University  6.480%   3/7/42 CAD         549        657
                   1,177,201
China (0.0%)                           
  Prosus NV  1.539%   8/3/28 EUR         500        581
2 Prosus NV  1.288%  7/13/29 EUR       1,000      1,129
23


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Prosus NV  2.031%   8/3/32 EUR       2,036      2,316
2 Prosus NV  1.985%  7/13/33 EUR       2,000      2,234
  State Grid Europe Development 2014 plc  2.450%  1/26/27 EUR         713        898
  State Grid Overseas Investment BVI Ltd.  1.375%   5/2/25 EUR       2,227      2,660
  State Grid Overseas Investment BVI Ltd.  0.797%   8/5/26 EUR       8,782     10,276
  State Grid Overseas Investment BVI Ltd.  2.125%   5/2/30 EUR       2,196      2,728
                   22,822
Czech Republic (0.1%)                           
  CEZ A/S  4.875%  4/16/25 EUR       3,977      5,340
  CEZ A/S  3.000%   6/5/28 EUR       3,977      5,250
  CPI Property Group SA  2.125%  10/4/24 EUR       1,400      1,688
  CPI Property Group SA  1.625%  4/23/27 EUR       4,773      5,652
  CPI Property Group SA  1.500%  1/27/31 EUR       1,500      1,661
  EP Infrastructure A/S  1.659%  4/26/24 EUR       2,591      3,083
  EP Infrastructure A/S  1.698%  7/30/26 EUR       6,000      7,188
  EP Infrastructure A/S  2.045%  10/9/28 EUR      13,673     16,535
  EP Infrastructure A/S  1.816%   3/2/31 EUR       7,762      9,109
                   55,506
Denmark (0.4%)                           
  AP Moller - Maersk A/S  4.000%   4/4/25 GBP      12,000     17,824
  AP Moller - Maersk A/S  1.750%  3/16/26 EUR      16,253     19,918
  Carlsberg Breweries A/S  2.500%  5/28/24 EUR       5,409      6,623
  Carlsberg Breweries A/S  0.375%  6/30/27 EUR       4,000      4,626
  Carlsberg Breweries A/S  0.875%   7/1/29 EUR       3,182      3,750
  Danfoss Finance I BV  0.125%  4/28/26 EUR       3,500      4,008
  Danica Pension Livsforsikrings AB  4.375%  9/29/45 EUR       1,082      1,403
  Danske Bank A/S  0.125%  2/14/22 EUR       4,227      4,896
  Danske Bank A/S  1.375%  5/24/22 EUR       1,591      1,857
  Danske Bank A/S  0.250% 11/28/22 EUR       5,316      6,183
  Danske Bank A/S  0.875%  5/22/23 EUR       4,286      5,026
  Danske Bank A/S  0.750%   6/2/23 EUR       5,123      6,010
  Danske Bank A/S  0.625%  5/26/25 EUR       1,000      1,173
  Danske Bank A/S  0.500%  8/27/25 EUR       8,178      9,509
  Danske Bank A/S  0.750% 11/22/27 EUR       4,773      5,723
  Danske Bank A/S  2.250%  1/14/28 GBP       7,169      9,886
  Danske Bank A/S  0.750%   6/9/29 EUR       8,000      9,145
  Danske Bank A/S  1.375%  2/12/30 EUR       8,705     10,188
  Danske Bank A/S  1.000%  5/15/31 EUR       3,000      3,445
  Deutsche Wohnen SE  1.500%  4/30/30 EUR       3,000      3,685
  E.ON SE  0.000%  8/28/24 EUR       3,500      4,052
  Hamburg Commercial Bank AG  0.375%   3/9/26 EUR       2,000      2,299
  Infineon Technologies AG  1.625%  6/24/29 EUR       2,500      3,070
  ISS Global A/S  1.500%  8/31/27 EUR       6,396      7,625
  Jyske Bank A/S  0.375% 10/15/25 EUR       3,182      3,697
  Jyske Bank A/S  2.250%   4/5/29 EUR       3,532      4,238
  Jyske Realkredit A/S  0.250%   7/1/23 EUR       2,545      2,967
  Jyske Realkredit A/S  0.375%   4/1/25 EUR       2,227      2,608
  Jyske Realkredit A/S  0.500%  10/1/26 EUR       7,058      8,317
  Nordea Kredit Realkreditaktieselskab  1.000%   4/1/26 DKK      26,000      4,195
  Novo Nordisk Finance Netherlands BV  0.000%   6/4/24 EUR       5,500      6,383
  Nykredit Realkredit A/S  1.000%   1/1/22 DKK     110,728     17,272
  Nykredit Realkredit A/S  0.250%  1/20/23 EUR         955      1,109
  Nykredit Realkredit A/S  0.125%  7/10/24 EUR       3,819      4,420
  Nykredit Realkredit A/S  0.500%  7/10/25 EUR       8,224      9,620
  Nykredit Realkredit A/S  0.750%  1/20/27 EUR       1,530      1,785
24


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Nykredit Realkredit A/S  2.750% 11/17/27 EUR       2,418      2,870
  Nykredit Realkredit A/S  0.375%  1/17/28 EUR       5,000      5,644
  Nykredit Realkredit A/S  2.000%  10/1/47 DKK      12,578      2,013
  Orsted A/S  1.500% 11/26/29 EUR      16,320     20,283
  Orsted A/S  4.875%  1/12/32 GBP       1,506      2,645
  Orsted A/S  2.500%  5/16/33 GBP       3,430      5,011
  Orsted A/S  5.750%   4/9/40 GBP         319        695
  Orsted A/S  6.250%  6/26/13 EUR         332        421
  Orsted A/S  2.500%  2/18/21 GBP       1,000      1,318
  Sydbank A/S  1.375%  9/18/23 EUR       3,182      3,771
  Volkswagen Leasing GmbH  0.000%  7/19/24 EUR       5,000      5,753
  Volkswagen Leasing GmbH  0.625%  7/19/29 EUR       4,000      4,514
  Vonovia SE  0.000%  12/1/25 EUR       5,000      5,696
                   279,169
Finland (0.3%)                           
  Aktia Bank OYJ  0.375%   3/5/26 EUR       3,200      3,761
  Citycon Treasury BV  2.375%  1/15/27 EUR       3,182      3,868
  Elenia Verkko OYJ  0.375%   2/6/27 EUR       3,182      3,663
  Fortum OYJ  2.125%  2/27/29 EUR       3,048      3,876
  Kojamo OYJ  1.875%  5/27/27 EUR       1,000      1,226
  Kojamo OYJ  0.875%  5/28/29 EUR       3,000      3,432
  Nordea Bank Abp  0.550%  6/23/25 CHF       4,075      4,548
  Nordea Bank Abp  0.500%  5/14/27 EUR       8,182      9,585
  Nordea Bank Abp  0.500%  3/19/31 EUR       4,000      4,564
  Nordea Kiinnitysluottopankki OYJ  0.250%  2/28/23 EUR       3,437      4,007
  Nordea Kiinnitysluottopankki OYJ  0.250% 11/21/23 EUR       1,591      1,858
  Nordea Kiinnitysluottopankki OYJ  0.250%  3/18/26 EUR       2,036      2,380
  Nordea Kiinnitysluottopankki OYJ  0.625%  3/17/27 EUR       7,319      8,723
  OP Corporate Bank plc  0.375%  8/29/23 EUR       1,909      2,232
  OP Corporate Bank plc  0.375%  2/26/24 EUR       2,164      2,533
  OP Corporate Bank plc  0.375%  6/19/24 EUR       2,545      2,966
  OP Corporate Bank plc  1.000%  5/22/25 EUR       3,182      3,800
  OP Corporate Bank plc  0.500%  8/12/25 EUR       1,035      1,215
  OP Corporate Bank plc  0.600%  1/18/27 EUR       7,001      8,149
  OP Corporate Bank plc  0.100% 11/16/27 EUR       9,000     10,245
  OP Corporate Bank plc  0.375%  6/16/28 EUR       5,000      5,684
  OP Corporate Bank plc  0.625% 11/12/29 EUR       4,137      4,748
  OP Corporate Bank plc  1.625%   6/9/30 EUR       7,955      9,426
  OP Mortgage Bank  0.625%   9/4/22 EUR       7,223      8,427
  OP Mortgage Bank  0.050%  2/22/23 EUR       1,591      1,850
  OP Mortgage Bank  0.250%  5/11/23 EUR       2,146      2,504
  OP Mortgage Bank  0.250%  3/13/24 EUR       9,545     11,153
  OP Mortgage Bank  1.000% 11/28/24 EUR       2,227      2,663
  OP Mortgage Bank  0.010% 11/19/26 EUR       3,182      3,676
  OP Mortgage Bank  0.625%  2/15/29 EUR       3,182      3,809
  OP Mortgage Bank  0.010% 11/19/30 EUR       9,545     10,809
  Sampo OYJ  3.375%  5/23/49 EUR       4,641      6,056
  Sampo OYJ  2.500%   9/3/52 EUR       8,814     10,692
  SATO OYJ  1.375%  5/31/24 EUR       3,000      3,555
  SATO OYJ  1.375%  2/24/28 EUR       7,000      8,320
  Stora Enso OYJ  2.500%   6/7/27 EUR       1,432      1,832
                   181,835
France (2.9%)                           
  Aeroports de Paris  1.500%  7/24/23 EUR       1,600      1,896
  Aeroports de Paris  3.125%  6/11/24 EUR         600        754
25


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Aeroports de Paris  1.500%   4/7/25 EUR       1,300      1,578
  Aeroports de Paris  2.125%  10/2/26 EUR      10,800     13,582
  Aeroports de Paris  2.750%   6/5/28 EUR         200        269
  Aeroports de Paris  1.000%   1/5/29 EUR       8,100      9,634
  Aeroports de Paris  2.750%   4/2/30 EUR       7,400      9,925
  Aeroports de Paris  1.500%   7/2/32 EUR       2,300      2,783
  Aeroports de Paris  1.125%  6/18/34 EUR       1,000      1,161
  Aeroports de Paris  2.125% 10/11/38 EUR       2,400      3,183
  Air Liquide Finance SA  0.500%  6/13/22 EUR         200        232
  Air Liquide Finance SA  1.000%   4/2/25 EUR      10,200     12,182
  Air Liquide Finance SA  1.250%   6/3/25 EUR       1,800      2,169
  Air Liquide Finance SA  1.250%  6/13/28 EUR         200        246
  Air Liquide Finance SA  1.375%   4/2/30 EUR       5,200      6,500
  Air Liquide SA  2.375%   9/6/23 EUR         800        970
  Airbus Finance BV  2.375%   4/2/24 EUR       2,959      3,596
  Airbus Finance BV  2.125% 10/29/29 EUR         136        175
  Airbus Finance BV  1.375%  5/13/31 EUR       6,438      7,758
  Airbus SE  1.625%   4/7/25 EUR       2,000      2,424
  Airbus SE  1.375%   6/9/26 EUR       1,846      2,234
  Airbus SE  2.375%   4/7/32 EUR       1,876      2,463
  Airbus SE  2.375%   6/9/40 EUR       4,137      5,464
  Alstom SA  0.250% 10/14/26 EUR       3,200      3,673
  Alstom SA  0.000%  1/11/29 EUR       1,700      1,883
  Altarea SCA  2.250%   7/5/24 EUR       3,200      3,877
  APRR SA  1.875%  1/15/25 EUR         800        978
  APRR SA  1.125%   1/9/26 EUR       3,400      4,098
  APRR SA  1.250%   1/6/27 EUR       3,500      4,271
  APRR SA  1.250%  1/18/28 EUR       3,200      3,926
  APRR SA  1.625%  1/13/32 EUR       3,000      3,840
  Arkea Home Loans SFH SA  2.375%  7/11/23 EUR       1,900      2,295
  Arkea Home Loans SFH SA  0.375%   3/4/24 EUR         200        234
  Arkea Home Loans SFH SA  1.500%   6/1/33 EUR       3,200      4,164
  Arkema SA  0.125% 10/14/26 EUR      10,000     11,545
  Arkema SA  1.500%  4/20/27 EUR       5,700      7,003
  Arkema SA  1.500% 12/31/99 EUR       6,000      6,978
  Atos SE  1.750%   5/7/25 EUR       1,800      2,156
  Autoroutes du Sud de la France SA  2.875%  1/18/23 EUR       1,100      1,320
  Autoroutes du Sud de la France SA  2.950%  1/17/24 EUR       1,700      2,085
  Autoroutes du Sud de la France SA  1.125%  4/20/26 EUR         200        242
  Autoroutes du Sud de la France SA  1.000%  5/13/26 EUR       3,400      4,087
  Autoroutes du Sud de la France SA  1.375%  6/27/28 EUR       8,800     10,898
  Autoroutes du Sud de la France SA  1.375%  2/21/31 EUR       2,600      3,240
  AXA Bank Europe SCF  0.375%  3/23/23 EUR       1,950      2,277
  AXA Bank Europe SCF  0.500%  4/18/25 EUR       8,900     10,476
  AXA Bank Europe SCF  1.375%  4/18/33 EUR       5,000      6,419
  AXA Home Loan SFH SA  0.010% 10/16/29 EUR       3,200      3,637
  AXA SA  1.125%  5/15/28 EUR       1,432      1,766
  AXA SA  1.375%  10/7/41 EUR       3,000      3,411
  AXA SA  5.125%   7/4/43 EUR         713        892
  AXA SA  3.375%   7/6/47 EUR       7,619      9,913
  AXA SA  3.875%  5/20/49 EUR       3,000      3,878
  AXA SA  3.250%  5/28/49 EUR      11,221     14,625
  AXA SA  6.686%  7/29/49 GBP         573        944
  AXA SA  3.941% 11/29/49 EUR         614        778
  AXA SA  5.453% 11/29/49 GBP       1,957      3,038
26


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  AXA SA  5.625%  1/16/54 GBP       3,290      5,558
  Banque Federative du Credit Mutuel SA  0.500% 11/16/22 EUR       5,500      6,418
  Banque Federative du Credit Mutuel SA  0.750%  6/15/23 EUR      21,700     25,502
  Banque Federative du Credit Mutuel SA  0.443% 10/12/23 JPY     500,000      4,404
  Banque Federative du Credit Mutuel SA  3.000% 11/28/23 EUR       2,600      3,206
  Banque Federative du Credit Mutuel SA  2.250% 12/18/23 GBP         900      1,258
  Banque Federative du Credit Mutuel SA  2.625%  3/18/24 EUR       3,200      3,940
  Banque Federative du Credit Mutuel SA  3.000%  5/21/24 EUR       5,990      7,435
  Banque Federative du Credit Mutuel SA  0.250% 10/10/24 JPY     600,000      5,260
  Banque Federative du Credit Mutuel SA  1.750% 12/19/24 GBP       3,200      4,437
  Banque Federative du Credit Mutuel SA  1.250%  1/14/25 EUR      14,300     17,159
  Banque Federative du Credit Mutuel SA  0.750%  7/17/25 EUR       1,700      2,008
  Banque Federative du Credit Mutuel SA  3.000%  9/11/25 EUR       1,600      2,028
  Banque Federative du Credit Mutuel SA  1.250%  12/5/25 GBP       5,000      6,774
  Banque Federative du Credit Mutuel SA  2.375%  3/24/26 EUR       6,800      8,457
  Banque Federative du Credit Mutuel SA  0.010%  5/11/26 EUR      10,000     11,417
  Banque Federative du Credit Mutuel SA  0.750%   6/8/26 EUR       5,400      6,379
  Banque Federative du Credit Mutuel SA  1.875%  11/4/26 EUR       1,800      2,199
  Banque Federative du Credit Mutuel SA  2.625%  3/31/27 EUR         200        254
  Banque Federative du Credit Mutuel SA  1.625% 11/15/27 EUR       1,600      1,929
  Banque Federative du Credit Mutuel SA  2.500%  5/25/28 EUR       1,600      2,034
  Banque Federative du Credit Mutuel SA  0.250%  7/19/28 EUR       7,800      8,757
  Banque Federative du Credit Mutuel SA  0.625%  11/3/28 EUR       8,700      9,989
  Banque Federative du Credit Mutuel SA  1.875%  6/18/29 EUR       3,200      3,928
  Banque Federative du Credit Mutuel SA  0.750%  1/17/30 EUR         800        919
  Banque Federative du Credit Mutuel SA  1.250%   6/3/30 EUR       1,900      2,269
  Banque Federative du Credit Mutuel SA  0.625%  2/21/31 EUR       5,200      5,872
  BNP Paribas Cardif SA  4.032% 11/29/49 EUR         200        259
  BNP Paribas Home Loan SFH SA  0.875% 11/14/24 EUR       1,591      1,893
  BNP Paribas SA  1.125%  1/15/23 EUR         350        412
  BNP Paribas SA  2.875%  9/26/23 EUR       1,766      2,162
  BNP Paribas SA  1.125% 10/10/23 EUR       3,755      4,446
  BNP Paribas SA  2.375%  5/20/24 EUR       2,705      3,325
  BNP Paribas SA  1.000%  6/27/24 EUR       1,591      1,885
  BNP Paribas SA  1.125%  8/28/24 EUR       3,000      3,571
  BNP Paribas SA  2.375%  2/17/25 EUR       1,591      1,959
  BNP Paribas SA  1.250%  3/19/25 EUR       3,182      3,804
  BNP Paribas SA  0.500%  7/15/25 EUR       1,300      1,517
  BNP Paribas SA  1.500% 11/17/25 EUR       6,523      7,897
  BNP Paribas SA  3.375%  1/23/26 GBP         859      1,253
  BNP Paribas SA  1.125%  6/11/26 EUR      11,773     14,024
  BNP Paribas SA  2.875%  10/1/26 EUR       1,527      1,951
  BNP Paribas SA  2.125%  1/23/27 EUR      10,400     12,825
  BNP Paribas SA  1.875% 12/14/27 GBP       1,900      2,595
  BNP Paribas SA  0.500%  2/19/28 EUR       1,500      1,717
  BNP Paribas SA  0.500%   9/1/28 EUR       4,100      4,677
  BNP Paribas SA  1.125%  4/17/29 EUR       3,200      3,771
  BNP Paribas SA  2.538%  7/13/29 CAD       1,300      1,026
  BNP Paribas SA  0.500%  1/19/30 EUR       4,800      5,398
  BNP Paribas SA  2.375% 11/20/30 EUR       3,200      3,939
  BNP Paribas SA  1.250%  7/13/31 GBP       2,900      3,670
  BNP Paribas SA  1.125%  1/15/32 EUR       7,000      8,089
  Bouygues SA  3.625%  1/16/23 EUR         800        969
  Bouygues SA  5.500%  10/6/26 GBP       1,950      3,178
  Bouygues SA  1.375%   6/7/27 EUR       1,200      1,479
27


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Bouygues SA  1.125%  7/24/28 EUR       1,600      1,944
  BPCE SA  1.125%  1/18/23 EUR       1,300      1,527
  BPCE SA  0.385%  1/25/23 JPY     100,000        879
  BPCE SA  0.375%  10/5/23 EUR       4,500      5,263
  BPCE SA  2.875%  1/16/24 EUR       4,400      5,439
  BPCE SA  0.875%  1/31/24 EUR       4,500      5,306
  BPCE SA  1.000%  7/15/24 EUR       2,700      3,210
  BPCE SA  3.000%  7/19/24 EUR       2,800      3,510
  BPCE SA  0.625%  9/26/24 EUR       7,800      9,151
  BPCE SA  1.000%   4/1/25 EUR       4,800      5,686
  BPCE SA  0.250%  1/15/26 EUR       3,400      3,931
  BPCE SA  1.375% 12/23/26 GBP       2,300      3,116
  BPCE SA  0.010%  1/14/27 EUR       1,500      1,702
  BPCE SA  0.500%  9/15/27 EUR       6,200      7,132
  BPCE SA  2.750% 11/30/27 EUR       1,600      1,903
  BPCE SA  1.625%  1/31/28 EUR       5,000      6,116
  BPCE SA  4.500%  4/26/28 AUD       8,040      6,514
  BPCE SA  5.250%  4/16/29 GBP       1,000      1,642
  BPCE SA  0.625%  1/15/30 EUR       4,500      5,201
  BPCE SA  0.250%  1/14/31 EUR      11,500     12,721
  BPCE SFH SA  0.375%  2/10/23 EUR       1,600      1,867
  BPCE SFH SA  2.375% 11/29/23 EUR       1,600      1,949
  BPCE SFH SA  0.375%  2/21/24 EUR       4,100      4,801
  BPCE SFH SA  1.750%  6/27/24 EUR       6,400      7,765
  BPCE SFH SA  1.000%  2/24/25 EUR       4,400      5,263
  BPCE SFH SA  0.398%  4/24/25 EUR       6,400      7,509
  BPCE SFH SA  0.750%   9/2/25 EUR       3,200      3,807
  BPCE SFH SA  0.625%  9/22/27 EUR       1,600      1,906
  BPCE SFH SA  0.010% 11/10/27 EUR       3,200      3,675
  BPCE SFH SA  0.875%  4/13/28 EUR       3,900      4,720
  BPCE SFH SA  1.000%   6/8/29 EUR       1,500      1,839
  BPCE SFH SA  0.625%  5/29/31 EUR       2,200      2,619
4 Caisse Centrale du Credit Immobilier de France SA  0.050%  3/25/25 EUR       3,200      3,733
  Caisse de Refinancement de l'Habitat SA  4.300%  2/24/23 EUR       2,227      2,733
  Caisse de Refinancement de l'Habitat SA  3.900% 10/20/23 EUR       1,591      1,990
  Caisse de Refinancement de l'Habitat SA  3.600%   3/8/24 EUR       3,691      4,647
  Caisse de Refinancement de l'Habitat SA  2.400%  1/17/25 EUR         356        444
  Caisse de Refinancement de l'Habitat SA  0.010%   2/7/28 EUR       3,200      3,671
  Caisse de Refinancement de l'Habitat SA  0.010%  10/8/29 EUR       6,700      7,621
  Caisse Nationale de Reassurance Mutuelle Agricole Groupama  6.000%  1/23/27 EUR       3,000      4,309
  Caisse Nationale de Reassurance Mutuelle Agricole Groupama  3.375%  9/24/28 EUR       2,700      3,506
  Caisse Nationale de Reassurance Mutuelle Agricole Groupama  6.375%  5/29/49 EUR       3,000      3,941
  Capgemini SE  2.500%   7/1/23 EUR       1,900      2,279
  Capgemini SE  1.000% 10/18/24 EUR       3,000      3,560
  Capgemini SE  1.750%  4/18/28 EUR       3,800      4,753
  Capgemini SE  2.000%  4/15/29 EUR       3,000      3,832
  Capgemini SE  1.125%  6/23/30 EUR       4,000      4,813
  Capgemini SE  2.375%  4/15/32 EUR       3,800      5,067
  Carmila SA  2.375%  9/16/24 EUR       1,300      1,590
  Carmila SA  2.125%   3/7/28 EUR         200        242
  Carrefour SA  0.750%  4/26/24 EUR       2,896      3,404
  Carrefour SA  1.250%   6/3/25 EUR       5,124      6,133
28


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Carrefour SA  1.750%   5/4/26 EUR       5,200      6,388
  Carrefour SA  2.625% 12/15/27 EUR       3,200      4,153
  Cie de Financement Foncier SA  2.375% 11/21/22 EUR       1,845      2,196
  Cie de Financement Foncier SA  0.625%  2/10/23 EUR       3,900      4,566
  Cie de Financement Foncier SA  0.325%  9/12/23 EUR       4,500      5,258
  Cie de Financement Foncier SA  2.000%   5/7/24 EUR       4,600      5,604
  Cie de Financement Foncier SA  0.500%   9/4/24 EUR       3,200      3,761
  Cie de Financement Foncier SA  0.375% 12/11/24 EUR         200        234
  Cie de Financement Foncier SA  0.750%  1/21/25 EUR       2,300      2,728
  Cie de Financement Foncier SA  4.000% 10/24/25 EUR       8,050     10,794
  Cie de Financement Foncier SA  0.750%  5/29/26 EUR         700        836
  Cie de Financement Foncier SA  0.225%  9/14/26 EUR       1,800      2,098
  Cie de Financement Foncier SA  5.500%  1/26/27 GBP         748      1,240
  Cie de Financement Foncier SA  0.375%   4/9/27 EUR       1,600      1,878
  Cie de Financement Foncier SA  0.010% 11/10/27 EUR       3,200      3,674
  Cie de Financement Foncier SA  0.750%  1/11/28 EUR       3,500      4,202
  Cie de Financement Foncier SA  0.875%  9/11/28 EUR       6,000      7,273
  Cie de Financement Foncier SA  3.875%  4/25/55 EUR       1,273      2,819
  Cie de Saint-Gobain  1.750%   4/3/23 EUR       3,200      3,795
  Cie de Saint-Gobain  1.000%  3/17/25 EUR       3,100      3,697
  Cie de Saint-Gobain  2.375%  10/4/27 EUR       4,000      5,171
  Cie de Saint-Gobain  1.875%  9/21/28 EUR       4,000      5,078
  Cie de Saint-Gobain  1.875%  3/15/31 EUR       3,700      4,750
  Cie Financiere et Industrielle des Autoroutes SA  0.375%   2/7/25 EUR       2,500      2,929
  Cie Generale des Etablissements Michelin SCA  0.000%  11/2/28 EUR       5,500      6,188
  Cie Generale des Etablissements Michelin SCA  0.250%  11/2/32 EUR       4,000      4,425
  Cie Generale des Etablissements Michelin SCA  2.500%   9/3/38 EUR       1,600      2,356
  CNP Assurances  4.250%   6/5/45 EUR       5,000      6,533
  CNP Assurances  4.500%  6/10/47 EUR       2,400      3,302
  CNP Assurances  2.500%  6/30/51 EUR       2,300      2,801
  Coentreprise de Transport d'Electricite SA  2.125%  7/29/32 EUR       5,200      6,777
  Covivio  1.625%  6/23/30 EUR       4,000      4,918
  Credit Agricole Assurances SA  4.750%  9/27/48 EUR       1,900      2,653
  Credit Agricole Assurances SA  4.250% 12/31/49 EUR         900      1,143
  Credit Agricole Home Loan SFH SA  0.625%  9/11/23 EUR         955      1,122
  Credit Agricole Home Loan SFH SA  0.375%  9/30/24 EUR       1,600      1,874
  Credit Agricole Home Loan SFH SA  0.500%   4/3/25 EUR       1,600      1,884
  Credit Agricole Home Loan SFH SA  4.000%  7/16/25 EUR         650        864
  Credit Agricole Home Loan SFH SA  0.500%  2/19/26 EUR         200        236
  Credit Agricole Home Loan SFH SA  0.750%   5/5/27 EUR      11,500     13,775
  Credit Agricole Home Loan SFH SA  0.875%  8/11/28 EUR       4,800      5,821
  Credit Agricole Home Loan SFH SA  1.000%  1/16/29 EUR       4,800      5,880
  Credit Agricole Home Loan SFH SA  0.050%  12/6/29 EUR       3,200      3,653
  Credit Agricole Home Loan SFH SA  1.250%  3/24/31 EUR       5,800      7,302
  Credit Agricole Home Loan SFH SA  0.010%  11/3/31 EUR       3,200      3,587
  Credit Agricole Home Loan SFH SA  1.375%   2/3/32 EUR       1,500      1,915
  Credit Agricole Home Loan SFH SA  0.875%   5/6/34 EUR       4,800      5,864
  Credit Agricole Home Loan SFH SA  1.500%  9/28/38 EUR       1,600      2,157
  Credit Agricole Public Sector SCF SA  1.875%   6/7/23 EUR       3,300      3,948
  Credit Agricole Public Sector SCF SA  0.500% 10/10/25 EUR       6,900      8,141
  Credit Agricole Public Sector SCF SA  0.250% 10/31/26 EUR       9,811     11,440
  Credit Agricole Public Sector SCF SA  0.875%   8/2/27 EUR         136        164
29


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Credit Agricole Public Sector SCF SA  0.010%  9/13/28 EUR       3,200      3,658
  Credit Agricole Public Sector SCF SA  0.625%  3/29/29 EUR       4,500      5,363
  Credit Agricole SA  0.750%  12/1/22 EUR       1,600      1,873
  Credit Agricole SA  3.125%  7/17/23 EUR         100        122
  Credit Agricole SA  7.375% 12/18/23 GBP         100        153
  Credit Agricole SA  2.375%  5/20/24 EUR       4,500      5,538
  Credit Agricole SA  0.500%  6/24/24 EUR       3,000      3,515
  Credit Agricole SA  1.000%  9/16/24 EUR         600        715
  Credit Agricole SA  3.125%   2/5/26 EUR       1,300      1,701
  Credit Agricole SA  1.000%  4/22/26 EUR       1,900      2,248
  Credit Agricole SA  1.875% 12/20/26 EUR       3,200      3,963
  Credit Agricole SA  2.625%  3/17/27 EUR       6,396      8,089
  Credit Agricole SA  1.375%   5/3/27 EUR         200        244
  Credit Agricole SA  0.514%   7/6/27 JPY     600,000      5,229
  Credit Agricole SA  1.750%   3/5/29 EUR       8,900     11,020
  Credit Agricole SA  2.000%  3/25/29 EUR       1,500      1,840
  Credit Agricole SA  1.000%   7/3/29 EUR       8,600     10,324
  Credit Agricole SA  1.625%   6/5/30 EUR       8,400      9,988
  Credit Agricole SA  0.875%  1/14/32 EUR       2,300      2,650
  Credit Mutuel Arkea SA  1.000%  1/26/23 EUR       2,700      3,173
  Credit Mutuel Arkea SA  1.250%  5/31/24 EUR       6,900      8,211
  Credit Mutuel Arkea SA  0.875%   5/7/27 EUR       5,600      6,632
  Credit Mutuel Arkea SA  0.375%  10/3/28 EUR       3,300      3,782
  Credit Mutuel Arkea SA  3.500%   2/9/29 EUR       6,300      8,520
  Credit Mutuel Arkea SA  1.125%  5/23/29 EUR         800        964
  Credit Mutuel Home Loan SFH SA  4.125%  1/16/23 EUR       2,000      2,437
  Credit Mutuel Home Loan SFH SA  2.500%  9/11/23 EUR       1,000      1,215
  Credit Mutuel Home Loan SFH SA  4.125%  1/19/24 EUR       1,900      2,407
  Credit Mutuel Home Loan SFH SA  0.250%  4/30/24 EUR       3,200      3,735
  Credit Mutuel Home Loan SFH SA  1.750%  6/19/24 EUR       3,200      3,881
  Credit Mutuel Home Loan SFH SA  0.625%  2/10/25 EUR         800        945
  Credit Mutuel Home Loan SFH SA  0.625%   2/2/26 EUR       1,600      1,898
  Credit Mutuel Home Loan SFH SA  0.875%   4/7/26 EUR         156        187
  Credit Mutuel Home Loan SFH SA  0.750%  9/15/27 EUR       2,800      3,359
  Credit Mutuel Home Loan SFH SA  1.000%  4/30/28 EUR      15,000     18,297
  Credit Mutuel Home Loan SFH SA  1.000%  1/30/29 EUR       1,900      2,326
  Danone SA  0.424%  11/3/22 EUR       2,100      2,442
  Danone SA  2.600%  6/28/23 EUR       1,900      2,302
  Danone SA  0.709%  11/3/24 EUR       5,400      6,386
  Danone SA  1.125%  1/14/25 EUR       3,200      3,823
  Danone SA  0.000%  12/1/25 EUR       5,000      5,764
  Danone SA  0.571%  3/17/27 EUR       7,200      8,473
  Dassault Systemes SE  0.125%  9/16/26 EUR       1,600      1,846
  Dassault Systemes SE  0.375%  9/16/29 EUR       3,200      3,701
5 Dexia Credit Local SA  1.375%  12/7/22 GBP       1,900      2,618
5 Dexia Credit Local SA  0.750%  1/25/23 EUR      10,350     12,131
5 Dexia Credit Local SA  0.625%   2/3/24 EUR      19,750     23,240
5 Dexia Credit Local SA  1.250% 11/26/24 EUR       5,500      6,604
5 Dexia Credit Local SA  0.500%  1/17/25 EUR       8,000      9,398
5 Dexia Credit Local SA  2.125%  2/12/25 GBP       1,000      1,417
5 Dexia Credit Local SA  0.625%  1/17/26 EUR       1,500      1,774
  Edenred  1.375%  6/18/29 EUR       3,000      3,662
  Electricite de France SA  2.750%  3/10/23 EUR       6,500      7,821
  Electricite de France SA  4.625%  9/11/24 EUR       3,200      4,181
  Electricite de France SA  0.300% 10/14/24 CHF       2,000      2,202
30


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Electricite de France SA  4.000% 11/12/25 EUR         700        933
  Electricite de France SA  1.000% 10/13/26 EUR       5,200      6,219
  Electricite de France SA  4.125%  3/25/27 EUR       6,900      9,603
  Electricite de France SA  2.000%  10/2/30 EUR         600        766
  Electricite de France SA  5.875%  7/18/31 GBP         986      1,795
  Electricite de France SA  5.625%  2/21/33 EUR       2,801      4,862
  Electricite de France SA  6.125%   6/2/34 GBP       7,850     15,254
  Electricite de France SA  1.875% 10/13/36 EUR       3,100      3,904
  Electricite de France SA  4.500% 11/12/40 EUR       1,300      2,321
  Electricite de France SA  5.500% 10/17/41 GBP      10,300     20,799
  Electricite de France SA  5.375%  1/29/49 EUR       1,100      1,407
  Electricite de France SA  5.875%  7/22/49 GBP         800      1,213
  Electricite de France SA  2.000%  12/9/49 EUR       6,900      8,706
  Electricite de France SA  5.125%  9/22/50 GBP       2,000      4,219
  Electricite de France SA  2.625% 12/31/99 EUR       2,400      2,778
  Electricite de France SA  2.875% 12/31/99 EUR       3,000      3,550
  Electricite de France SA  5.000% 12/31/99 EUR       1,900      2,440
  Electricite de France SA  6.000% 12/31/99 GBP       1,300      1,935
  Electricite de France SA  6.000%  1/23/14 GBP       2,400      6,143
  ELO SACA  2.375% 12/12/22 EUR         600        714
  ELO SACA  2.375%  4/25/25 EUR       2,600      3,173
  Engie Alliance GIE  5.750%  6/24/23 EUR       1,906      2,412
  Engie SA  3.000%   2/1/23 EUR       1,273      1,533
  Engie SA  0.875%  3/27/24 EUR         700        826
  Engie SA  0.875%  9/19/25 EUR       4,400      5,219
  Engie SA  1.000%  3/13/26 EUR       1,000      1,194
  Engie SA  0.375%  6/11/27 EUR       4,800      5,548
  Engie SA  1.750%  3/27/28 EUR       2,400      2,993
  Engie SA  1.375%  6/22/28 EUR         600        733
  Engie SA  7.000% 10/30/28 GBP       1,300      2,384
  Engie SA  2.125%  3/30/32 EUR       5,000      6,514
  Engie SA  2.000%  9/28/37 EUR         900      1,180
  Engie SA  1.250% 10/24/41 EUR       2,900      3,408
  Engie SA  3.875%   6/2/49 EUR       1,200      1,505
  Engie SA  5.000%  10/1/60 GBP       1,600      3,672
  Engie SA  1.375% 12/31/99 EUR       2,100      2,452
  Engie SA  5.950%  3/16/11 EUR       1,009      2,341
  EssilorLuxottica SA  2.625%  2/10/24 EUR       2,927      3,602
  EssilorLuxottica SA  0.125%  5/27/25 EUR       3,200      3,719
  EssilorLuxottica SA  0.500%   6/5/28 EUR       6,400      7,516
  Eutelsat SA  2.000%  10/2/25 EUR       1,100      1,313
  Eutelsat SA  2.250%  7/13/27 EUR         200        240
  Eutelsat SA  1.500% 10/13/28 EUR       1,000      1,169
  Gecina SA  1.500%  1/20/25 EUR       2,900      3,510
  Gecina SA  1.375%  1/26/28 EUR         200        246
  Gecina SA  1.000%  1/30/29 EUR         800        962
  Gecina SA  1.625%  3/14/30 EUR       4,000      5,028
  Gecina SA  0.875%  6/30/36 EUR       3,400      3,907
  GELF Bond Issuer I SA  1.625% 10/20/26 EUR       1,000      1,218
  GELF Bond Issuer I SA  1.125%  7/18/29 EUR       1,337      1,562
  Holding d'Infrastructures de Transport SASU  2.250%  3/24/25 EUR       1,400      1,726
  Holding d'Infrastructures de Transport SASU  1.625% 11/27/27 EUR         800        972
  Holding d'Infrastructures et des Metiers de l'Environnement  0.625%  9/16/28 EUR       5,000      5,703
  HSBC Continental Europe SA  0.250%  5/17/24 EUR       1,000      1,166
31


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  HSBC Continental Europe SA  0.100%   9/3/27 EUR       3,200      3,633
  HSBC SFH France SA  2.000% 10/16/23 EUR         800        965
  ICADE  1.125% 11/17/25 EUR       3,400      4,065
  ICADE  0.625%  1/18/31 EUR       3,800      4,190
  Icade Sante SAS  0.875%  11/4/29 EUR       5,000      5,711
  Imerys SA  1.500%  1/15/27 EUR         200        242
  In'li SA  1.125%   7/2/29 EUR         500        597
  JCDecaux SA  1.000%   6/1/23 EUR       3,200      3,754
  JCDecaux SA  2.625%  4/24/28 EUR       1,600      2,039
  Kering SA  1.250%  5/10/26 EUR       3,000      3,640
  Klepierre SA  1.000%  4/17/23 EUR         700        821
  Klepierre SA  1.875%  2/19/26 EUR       2,400      2,959
  Klepierre SA  1.375%  2/16/27 EUR         200        243
  Klepierre SA  0.625%   7/1/30 EUR       1,900      2,160
  La Banque Postale Home Loan SFH SA  2.375%  1/15/24 EUR       1,600      1,954
  La Banque Postale Home Loan SFH SA  0.625%  6/23/27 EUR       4,000      4,761
  La Banque Postale Home Loan SFH SA  0.875%   2/7/28 EUR       2,900      3,510
  La Banque Postale Home Loan SFH SA  1.000%  10/4/28 EUR       1,600      1,956
  La Banque Postale SA  1.000% 10/16/24 EUR       1,600      1,897
  La Banque Postale SA  0.500%  6/17/26 EUR       1,000      1,162
  La Banque Postale SA  2.750% 11/19/27 EUR       1,300      1,545
  La Banque Postale SA  3.000%   6/9/28 EUR         600        791
  La Banque Postale SA  2.000%  7/13/28 EUR       3,100      3,897
  La Banque Postale SA  1.375%  4/24/29 EUR       3,200      3,875
  La Banque Postale SA  0.875%  1/26/31 EUR       5,000      5,758
  La Banque Postale SA  0.750%  6/23/31 EUR       5,000      5,640
  La Banque Postale SA  0.750%   8/2/32 EUR       3,000      3,384
  La Mondiale SAM  2.125%  6/23/31 EUR       1,000      1,199
  La Mondiale SAM  5.050% 12/29/49 EUR       2,164      2,899
  La Poste SA  2.750% 11/26/24 EUR       1,400      1,764
  La Poste SA  1.125%   6/4/25 EUR       3,200      3,845
  La Poste SA  0.625% 10/21/26 EUR       3,100      3,653
  La Poste SA  0.375%  9/17/27 EUR       6,300      7,319
  La Poste SA  1.450% 11/30/28 EUR         700        871
  La Poste SA  0.000%  7/18/29 EUR       5,300      5,891
  La Poste SA  1.375%  4/21/32 EUR      14,300     17,551
  Legrand SA  0.750%  5/20/30 EUR       2,000      2,375
  Legrand SA  1.875%   7/6/32 EUR         200        261
  LVMH Moet Hennessy Louis Vuitton SE  1.000%  6/14/22 GBP       2,863      3,926
  LVMH Moet Hennessy Louis Vuitton SE  0.000%  2/11/24 EUR       9,000     10,447
  LVMH Moet Hennessy Louis Vuitton SE  0.750%  5/26/24 EUR       3,206      3,782
  LVMH Moet Hennessy Louis Vuitton SE  0.000%  2/11/26 EUR       8,000      9,227
  LVMH Moet Hennessy Louis Vuitton SE  1.125%  2/11/27 GBP       3,100      4,187
  LVMH Moet Hennessy Louis Vuitton SE  0.125%  2/11/28 EUR       3,200      3,685
  LVMH Moet Hennessy Louis Vuitton SE  0.375%  2/11/31 EUR       2,000      2,306
  Mercialys SA  1.787%  3/31/23 EUR       1,600      1,887
  MMS USA Investments Inc.  0.625%  6/13/25 EUR       7,700      9,006
  MMS USA Investments Inc.  1.750%  6/13/31 EUR       2,000      2,476
  Orange SA  0.750%  9/11/23 EUR         600        705
  Orange SA  1.125%  7/15/24 EUR       3,100      3,690
  Orange SA  1.000%  5/12/25 EUR       3,200      3,811
  Orange SA  1.000%  9/12/25 EUR       4,400      5,251
  Orange SA  5.250%  12/5/25 GBP         435        687
  Orange SA  0.000%   9/4/26 EUR       2,300      2,627
  Orange SA  0.875%   2/3/27 EUR         200        238
32


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Orange SA  1.250%   7/7/27 EUR       2,600      3,157
  Orange SA  1.375%  3/20/28 EUR      11,600     14,237
  Orange SA  8.125% 11/20/28 GBP       2,069      4,018
  Orange SA  1.375%  1/16/30 EUR         800        987
  Orange SA  1.875%  9/12/30 EUR      11,400     14,605
  Orange SA  3.250%  1/15/32 GBP       7,400     11,204
  Orange SA  1.625%   4/7/32 EUR       3,200      4,024
  Orange SA  0.500%   9/4/32 EUR       6,200      6,960
  Orange SA  8.125%  1/28/33 EUR         117        240
  Orange SA  1.375%   9/4/49 EUR       1,400      1,691
  Orange SA  5.000% 10/29/49 EUR       4,387      5,973
  Orange SA  5.750% 10/29/49 GBP       2,227      3,217
  Orange SA  5.250% 12/29/49 EUR       4,140      5,277
  Orange SA  1.375% 12/31/99 EUR       2,000      2,272
  Orange SA  2.375% 12/31/99 EUR       1,900      2,292
  Pernod Ricard SA  1.125%   4/7/25 EUR         100        120
  Pernod Ricard SA  1.500%  5/18/26 EUR       1,000      1,223
  Pernod Ricard SA  0.875% 10/24/31 EUR       3,600      4,290
  PSA Banque France SA  0.625%  6/21/24 EUR       3,000      3,511
  PSA Tresorerie GIE  6.000%  9/19/33 EUR       1,257      2,139
  Publicis Groupe SA  1.125% 12/16/21 EUR       2,300      2,661
  RCI Banque SA  1.875%  11/8/22 GBP         573        789
  RCI Banque SA  1.000%  5/17/23 EUR       2,036      2,382
  RCI Banque SA  1.375%   3/8/24 EUR       3,501      4,150
  RCI Banque SA  1.625%  4/11/25 EUR       6,991      8,357
  RCI Banque SA  1.750%  4/10/26 EUR       6,724      8,105
  RCI Banque SA  1.625%  5/26/26 EUR         414        498
  RTE Reseau de Transport d'Electricite SADIR  1.625% 11/27/25 EUR       4,200      5,130
  RTE Reseau de Transport d'Electricite SADIR  0.000%   9/9/27 EUR      11,800     13,349
  RTE Reseau de Transport d'Electricite SADIR  2.750%  6/20/29 EUR         700        943
  RTE Reseau de Transport d'Electricite SADIR  1.500%  9/27/30 EUR       1,600      1,983
  RTE Reseau de Transport d'Electricite SADIR  1.875% 10/23/37 EUR       1,900      2,500
  RTE Reseau de Transport d'Electricite SADIR  1.125%   7/8/40 EUR       6,300      7,368
  SANEF SA  0.950% 10/19/28 EUR         600        702
  Sanofi  0.500%  3/21/23 EUR       4,700      5,484
  Sanofi  2.500% 11/14/23 EUR       1,600      1,942
  Sanofi  1.000%   4/1/25 EUR       6,800      8,127
  Sanofi  1.750%  9/10/26 EUR       2,300      2,873
  Sanofi  1.125%   4/5/28 EUR       3,400      4,156
  Sanofi  0.875%  3/21/29 EUR       3,200      3,849
  Sanofi  1.500%   4/1/30 EUR       6,800      8,577
  Sanofi  1.875%  3/21/38 EUR       2,400      3,309
  SCOR SE  3.000%   6/8/46 EUR       1,600      2,032
  SCOR SE  3.625%  5/27/48 EUR       1,800      2,422
  SCOR SE  1.375%  9/17/51 EUR       2,500      2,851
  Societe Generale SA  0.750%  5/26/23 EUR       1,600      1,879
  Societe Generale SA  4.000%   6/7/23 EUR       1,400      1,718
  Societe Generale SA  1.250%  2/15/24 EUR       6,000      7,135
  Societe Generale SA  1.125%  1/23/25 EUR       3,700      4,400
  Societe Generale SA  1.125%  4/21/26 EUR       4,000      4,737
  Societe Generale SA  0.750%  1/25/27 EUR       4,700      5,458
  Societe Generale SA  0.847%  5/26/27 JPY     600,000      5,246
  Societe Generale SA  1.250%  12/7/27 GBP       4,000      5,215
  Societe Generale SA  2.125%  9/27/28 EUR       3,500      4,381
  Societe Generale SA  0.500%  6/12/29 EUR       8,400      9,455
33


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Societe Generale SA  1.250%  6/12/30 EUR       2,600      3,058
  Societe Generale SA  1.000% 11/24/30 EUR       2,000      2,305
  Societe Generale SCF SA  4.250%   2/3/23 EUR       1,500      1,835
  Societe Generale SFH SA  0.500%  1/20/23 EUR         600        701
  Societe Generale SFH SA  0.250%  9/11/23 EUR         200        233
  Societe Generale SFH SA  2.000%  4/29/24 EUR       4,300      5,236
  Societe Generale SFH SA  0.500%  1/30/25 EUR       2,900      3,412
  Societe Generale SFH SA  0.500%  1/28/26 EUR       3,600      4,247
  Societe Generale SFH SA  0.750%  1/19/28 EUR       3,200      3,843
  Societe Generale SFH SA  0.010%  2/11/30 EUR       1,200      1,363
  Societe Generale SFH SA  0.010%   2/5/31 EUR       2,500      2,824
  Sodexo SA  0.750%  4/27/25 EUR       4,000      4,719
  Sodexo SA  2.500%  6/24/26 EUR         117        150
  Sodexo SA  1.750%  6/26/28 GBP       2,545      3,493
  Suez SA  2.750%  10/9/23 EUR       1,000      1,220
  Suez SA  5.500%  7/22/24 EUR       1,550      2,063
  Suez SA  1.000%   4/3/25 EUR       3,300      3,925
  Suez SA  1.250%   4/2/27 EUR       6,400      7,737
  Suez SA  1.500%   4/3/29 EUR       3,100      3,823
  Suez SA  5.375%  12/2/30 GBP         200        351
  TDF Infrastructure SAS  2.500%   4/7/26 EUR         100        124
  Terega SA  0.875%  9/17/30 EUR       1,600      1,843
  Terega SASU  0.625%  2/27/28 EUR       1,000      1,141
  Thales SA  0.000%  3/26/26 EUR       3,000      3,427
  TotalEnergies Capital Canada Ltd.  2.125%  9/18/29 EUR       5,400      6,980
  TotalEnergies Capital International SA  2.125%  3/15/23 EUR       1,300      1,554
  TotalEnergies Capital International SA  0.625%  10/4/24 EUR       3,800      4,479
  TotalEnergies Capital International SA  1.375%  3/19/25 EUR       4,400      5,320
  TotalEnergies Capital International SA  1.750%   7/7/25 GBP       2,948      4,102
  TotalEnergies Capital International SA  2.875% 11/19/25 EUR       2,600      3,341
  TotalEnergies Capital International SA  2.500%  3/25/26 EUR       1,400      1,793
  TotalEnergies Capital International SA  1.491%   4/8/27 EUR       5,200      6,379
  TotalEnergies Capital International SA  0.696%  5/31/28 EUR       7,200      8,494
  TotalEnergies Capital International SA  1.491%   9/4/30 EUR         200        248
  TotalEnergies Capital International SA  0.952%  5/18/31 EUR       3,000      3,579
  TotalEnergies Capital International SA  1.994%   4/8/32 EUR       3,400      4,430
  TotalEnergies Capital International SA  1.618%  5/18/40 EUR       4,200      5,351
  TotalEnergies SE  2.625% 12/29/49 EUR       6,966      8,462
  TotalEnergies SE  2.708% 12/29/49 EUR       4,328      5,155
  TotalEnergies SE  3.369% 12/29/49 EUR       2,291      2,908
  TotalEnergies SE  1.625% 12/31/99 EUR       6,530      7,520
  TotalEnergies SE  1.750% 12/31/99 EUR       2,578      3,040
  TotalEnergies SE  2.000% 12/31/99 EUR       4,000      4,600
  UMG Groupe VYV  1.625%   7/2/29 EUR       1,300      1,590
  Unibail-Rodamco-Westfield SE  2.500%  2/26/24 EUR         601        737
  Unibail-Rodamco-Westfield SE  1.000%  3/14/25 EUR       3,182      3,789
  Unibail-Rodamco-Westfield SE  1.125%  9/15/25 EUR       3,700      4,408
  Unibail-Rodamco-Westfield SE  1.375%   3/9/26 EUR         113        137
  Unibail-Rodamco-Westfield SE  1.000%  2/27/27 EUR       1,100      1,306
  Unibail-Rodamco-Westfield SE  0.625%   5/4/27 EUR       6,400      7,407
  Unibail-Rodamco-Westfield SE  2.625%   4/9/30 EUR       5,000      6,543
  Unibail-Rodamco-Westfield SE  1.375%  4/15/30 EUR       2,387      2,848
  Unibail-Rodamco-Westfield SE  1.875%  1/15/31 EUR       4,800      5,895
  Unibail-Rodamco-Westfield SE  1.375%  12/4/31 EUR       4,400      5,145
  Unibail-Rodamco-Westfield SE  0.875%  3/29/32 EUR       7,000      7,726
34


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Unibail-Rodamco-Westfield SE  2.000%  6/29/32 EUR         900      1,108
  Unibail-Rodamco-Westfield SE  2.000%  4/28/36 EUR         414        505
  Unibail-Rodamco-Westfield SE  2.250%  5/14/38 EUR         200        249
  Unibail-Rodamco-Westfield SE  1.750%   7/1/49 EUR       2,400      2,679
  Veolia Environnement SA  0.892%  1/14/24 EUR       4,100      4,826
  Veolia Environnement SA  1.590%  1/10/28 EUR       2,000      2,477
  Veolia Environnement SA  0.927%   1/4/29 EUR       1,600      1,902
  Veolia Environnement SA  6.125% 11/25/33 EUR       1,394      2,561
  Vinci SA  1.000%  9/26/25 EUR       1,600      1,916
  Vinci SA  2.250%  3/15/27 GBP         200        285
  Vinci SA  0.000% 11/27/28 EUR       2,000      2,263
  Vinci SA  1.625%  1/18/29 EUR       8,100     10,177
  Vinci SA  1.750%  9/26/30 EUR       2,200      2,837
  Vinci SA  2.750%  9/15/34 GBP       2,200      3,327
  Vivendi SE  1.125% 12/11/28 EUR       1,700      2,038
                   2,051,230
Germany (2.4%)                           
  Aareal Bank AG  0.125%   2/1/24 EUR       1,591      1,853
  Aareal Bank AG  0.375%  7/15/25 EUR         700        821
  Aareal Bank AG  0.010%   2/1/28 EUR      18,800     21,608
  Allianz Finance II BV  0.875%  1/15/26 EUR         600        717
  Allianz Finance II BV  0.875%  12/6/27 EUR       3,000      3,609
  Allianz Finance II BV  3.000%  3/13/28 EUR         900      1,224
  Allianz Finance II BV  0.500%  1/14/31 EUR       4,000      4,651
  Allianz SE  2.241%   7/7/45 EUR       2,200      2,683
  Allianz SE  4.750% 12/31/49 EUR       1,800      2,250
  Allianz SE  2.121%   7/8/50 EUR       4,300      5,225
  Allianz SE  3.375% 12/31/99 EUR       5,800      7,205
  alstria office REIT-AG  1.500% 11/15/27 EUR       3,200      3,800
  Aroundtown SA  0.625%   7/9/25 EUR         600        696
  Aroundtown SA  4.625%  9/18/25 CAD         450        385
  Aroundtown SA  1.875%  1/19/26 EUR       6,500      7,918
  Aroundtown SA  1.500%  5/28/26 EUR       3,200      3,838
  Aroundtown SA  0.000%  7/16/26 EUR       6,000      6,717
  Aroundtown SA  2.000%  11/2/26 EUR       2,200      2,699
  Aroundtown SA  1.625%  1/31/28 EUR       1,400      1,676
  Aroundtown SA  1.450%   7/9/28 EUR       4,800      5,675
  Aroundtown SA  3.000% 10/16/29 GBP       2,832      4,057
  Aroundtown SA  3.625%  4/10/31 GBP       6,000      8,969
  Aroundtown SA  1.625% 12/31/99 EUR       4,000      4,415
  Aroundtown SA  2.125% 12/31/99 EUR       5,300      6,122
  BASF SE  2.000%  12/5/22 EUR       3,182      3,775
  BASF SE  1.750%  3/11/25 GBP         156        217
  BASF SE  1.500%  5/22/30 EUR       2,545      3,220
  BASF SE  0.875%  10/6/31 EUR         117        142
  BASF SE  1.450% 12/13/32 EUR       5,300      6,763
  Bayer AG  0.050%  1/12/25 EUR       4,500      5,184
  Bayer AG  0.750%   1/6/27 EUR       4,200      4,920
  Bayer AG  0.375%  1/12/29 EUR       4,000      4,513
  Bayer AG  0.625%  7/12/31 EUR       3,100      3,445
  Bayer AG  1.375%   7/6/32 EUR       3,200      3,774
  Bayer AG  1.000%  1/12/36 EUR       3,100      3,393
  Bayer Capital Corp. BV  0.625% 12/15/22 EUR       4,800      5,593
  Bayer Capital Corp. BV  2.125% 12/15/29 EUR       3,300      4,196
  Bayerische Landesbank  2.000%  7/11/22 EUR         136        160
35


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Bayerische Landesbank  0.350%  12/1/22 EUR       1,591      1,854
  Bayerische Landesbank  1.625%  4/18/23 EUR       1,591      1,892
  Bayerische Landesbank  0.500%  3/19/25 EUR       3,182      3,750
  Bayerische Landesbank  0.625%  7/19/27 EUR         637        760
  Bayerische Landesbodenkreditanstalt  1.875%  1/25/23 EUR       2,002      2,381
  Bayerische Landesbodenkreditanstalt  1.750%  4/24/24 EUR         955      1,159
  Berlin Hyp AG  0.000% 11/29/21 EUR         200        231
  Berlin Hyp AG  0.125% 10/23/23 EUR       8,113      9,445
  Berlin Hyp AG  0.125%   1/5/24 EUR       1,591      1,853
  Berlin Hyp AG  0.375%   5/3/24 EUR       2,485      2,912
  Berlin Hyp AG  0.375%  2/21/25 EUR      10,000     11,726
  Berlin Hyp AG  0.375%  5/29/29 EUR      10,000     11,749
  Berlin Hyp AG  0.250%  5/19/33 EUR       5,920      6,786
  Bertelsmann SE & Co. KGaA  2.625%   8/2/22 EUR         200        236
  Bertelsmann SE & Co. KGaA  1.750% 10/14/24 EUR       1,900      2,304
  Bertelsmann SE & Co. KGaA  2.000%   4/1/28 EUR       2,600      3,291
  BMW Canada Inc.  2.410% 11/27/23 CAD       2,000      1,645
  BMW Canada Inc.  0.990%  1/14/25 CAD       1,600      1,261
  BMW Finance NV  1.000%  2/15/22 EUR         429        498
  BMW Finance NV  0.000%  4/14/23 EUR       6,000      6,961
  BMW Finance NV  0.375%  7/10/23 EUR       3,341      3,902
  BMW Finance NV  0.625%  10/6/23 EUR       3,564      4,183
  BMW Finance NV  0.750%  4/15/24 EUR         286        337
  BMW Finance NV  1.000% 11/14/24 EUR       3,749      4,467
  BMW Finance NV  0.875%   4/3/25 EUR       2,927      3,479
  BMW Finance NV  1.000%  8/29/25 EUR       2,539      3,038
  BMW Finance NV  0.000%  1/11/26 EUR       9,530     10,961
  BMW Finance NV  0.375%  1/14/27 EUR       4,773      5,563
  BMW Finance NV  1.500%   2/6/29 EUR       5,470      6,852
  BMW Finance NV  0.200%  1/11/33 EUR       3,071      3,363
  Brenntag Finance BV  1.125%  9/27/25 EUR       1,146      1,368
  Commerzbank AG  0.250%  1/26/22 EUR       1,273      1,474
  Commerzbank AG  0.500%  9/13/23 EUR         319        372
  Commerzbank AG  0.125%   1/9/24 EUR      10,000     11,645
  Commerzbank AG  0.050%  7/11/24 EUR       1,591      1,849
  Commerzbank AG  0.625%  8/28/24 EUR       3,182      3,732
  Commerzbank AG  0.625%  3/13/25 EUR       5,927      7,010
  Commerzbank AG  0.625%  5/28/25 EUR       2,863      3,388
  Commerzbank AG  0.875%   9/8/25 EUR       3,214      3,843
  Commerzbank AG  1.000%   3/4/26 EUR       4,804      5,708
  Commerzbank AG  0.500%   6/9/26 EUR       4,773      5,641
  Commerzbank AG  0.500%  12/4/26 EUR       4,773      5,535
  Commerzbank AG  0.125% 12/15/26 EUR       3,755      4,355
  Commerzbank AG  0.625%  8/24/27 EUR         350        417
  Commerzbank AG  0.010%  3/11/30 EUR       2,863      3,255
  Commerzbank AG  1.250%   1/9/34 EUR       2,227      2,840
  Covestro AG  1.750%  9/25/24 EUR       3,182      3,846
  Daimler AG  1.625%  8/22/23 EUR       5,000      5,966
  Daimler AG  0.000%   2/8/24 EUR         156        181
  Daimler AG  0.375%  11/8/26 EUR       4,773      5,557
  Daimler AG  1.000% 11/15/27 EUR       3,000      3,600
  Daimler AG  0.750%   2/8/30 EUR       2,863      3,364
  Daimler AG  2.375%  5/22/30 EUR       2,000      2,659
  Daimler AG  0.750%  9/10/30 EUR       1,591      1,874
  Daimler AG  2.000%  2/27/31 EUR       4,164      5,402
36


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Daimler AG  1.125%  11/6/31 EUR       3,182      3,821
  Daimler AG  1.125%   8/8/34 EUR       2,863      3,427
  Daimler AG  2.125%   7/3/37 EUR         765      1,024
  Daimler Canada Finance Inc.  2.540%  8/21/23 CAD       2,300      1,893
  Daimler Canada Finance Inc.  2.970%  3/13/24 CAD       1,150        955
  Daimler Canada Finance Inc.  1.650%  9/22/25 CAD       2,860      2,276
  Daimler International Finance BV  0.625%  2/27/23 EUR       3,460      4,046
  Daimler International Finance BV  0.875%   4/9/24 EUR       4,939      5,840
  Daimler International Finance BV  2.625%   4/7/25 EUR       8,558     10,747
  Daimler International Finance BV  1.000% 11/11/25 EUR       6,682      7,986
  Daimler International Finance BV  1.375%  6/26/26 EUR       5,536      6,759
  Daimler International Finance BV  2.000%  8/22/26 EUR      13,120     16,450
  Daimler International Finance BV  0.625%   5/6/27 EUR       4,773      5,615
  DekaBank Deutsche Girozentrale  0.300% 11/20/26 EUR       1,600      1,863
  Deutsche Apotheker-und Aerztebank eG  0.750%  10/5/27 EUR         100        120
  Deutsche Bahn Finance GmbH  2.500%  9/12/23 EUR       5,887      7,151
  Deutsche Bahn Finance GmbH  3.000%   3/8/24 EUR       1,273      1,586
  Deutsche Bahn Finance GmbH  1.500%  8/26/24 CHF         320        367
  Deutsche Bahn Finance GmbH  3.500%  9/27/24 AUD       1,420      1,115
  Deutsche Bahn Finance GmbH  1.375%   7/7/25 GBP       9,571     13,202
  Deutsche Bahn Finance GmbH  1.250% 10/23/25 EUR         795        964
  Deutsche Bahn Finance GmbH  1.875%  2/13/26 GBP         173        243
  Deutsche Bahn Finance GmbH  0.500%   4/9/27 EUR       1,788      2,105
  Deutsche Bahn Finance GmbH  1.125% 12/18/28 EUR         122        150
  Deutsche Bahn Finance GmbH  2.750%  3/19/29 EUR       1,113      1,519
  Deutsche Bahn Finance GmbH  0.375%  6/23/29 EUR         907      1,051
  Deutsche Bahn Finance GmbH  1.375%  3/28/31 EUR         955      1,190
  Deutsche Bahn Finance GmbH  0.875%  7/11/31 EUR         859      1,027
  Deutsche Bahn Finance GmbH  0.200%  5/20/33 CHF       5,000      5,361
  Deutsche Bahn Finance GmbH  1.625%  8/16/33 EUR       3,118      3,968
  Deutsche Bahn Finance GmbH  0.750%  7/16/35 EUR       2,894      3,331
  Deutsche Bahn Finance GmbH  0.625%  4/15/36 EUR       2,100      2,360
  Deutsche Bahn Finance GmbH  1.375%  4/16/40 EUR       3,219      3,994
  Deutsche Bahn Finance GmbH  0.625%  12/8/50 EUR       6,818      7,011
  Deutsche Bahn Finance GmbH  1.125%  5/29/51 EUR       2,500      2,932
  Deutsche Bahn Finance GmbH  0.950% 12/31/99 EUR       1,400      1,616
  Deutsche Bank AG  2.375%  1/11/23 EUR       3,800      4,527
  Deutsche Bank AG  1.125%  8/30/23 EUR       8,059      9,530
  Deutsche Bank AG  0.625% 12/19/23 CHF       3,660      4,032
  Deutsche Bank AG  0.250%   3/8/24 EUR       2,959      3,455
  Deutsche Bank AG  2.625% 12/16/24 GBP       4,200      5,875
  Deutsche Bank AG  2.625%  2/12/26 EUR       6,100      7,640
  Deutsche Bank AG  1.625%  1/20/27 EUR         900      1,083
  Deutsche Bank AG  0.750%  2/17/27 EUR       9,000     10,395
  Deutsche Bank AG  1.750%  1/17/28 EUR       1,500      1,814
  Deutsche Bank AG  0.250%  8/31/28 EUR       1,591      1,851
  Deutsche Bank AG  1.750% 11/19/30 EUR      10,100     12,132
  Deutsche Boerse AG  1.625%  10/8/25 EUR       1,304      1,601
  Deutsche Boerse AG  1.125%  3/26/28 EUR       3,182      3,884
  Deutsche Hypothekenbank AG  0.250%  2/22/23 EUR       4,800      5,593
  Deutsche Hypothekenbank AG  0.250%  5/17/24 EUR       2,500      2,920
  Deutsche Hypothekenbank AG  0.750%   3/5/29 EUR      13,000     15,633
  Deutsche Kreditbank AG  1.625%  6/18/24 EUR         200        242
  Deutsche Kreditbank AG  0.500%  3/19/27 EUR         600        710
  Deutsche Pfandbriefbank AG  1.875%  1/21/22 EUR       3,182      3,698
37


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Deutsche Pfandbriefbank AG  0.010% 10/16/25 EUR       6,400      7,402
  Deutsche Pfandbriefbank AG  0.625%  8/30/27 EUR      25,700     30,613
  Deutsche Pfandbriefbank AG  2.375%  5/29/28 EUR       1,941      2,568
  Deutsche Pfandbriefbank AG  1.250%  4/20/35 EUR       3,182      4,063
  Deutsche Post AG  2.750%  10/9/23 EUR         637        779
  Deutsche Post AG  2.875% 12/11/24 EUR         637        805
  Deutsche Post AG  1.250%   4/1/26 EUR       4,000      4,845
  Deutsche Post AG  0.375%  5/20/26 EUR       1,741      2,034
  Deutsche Post AG  1.625%  12/5/28 EUR       7,075      8,919
  Deutsche Post AG  0.750%  5/20/29 EUR         765        911
  Deutsche Telekom AG  0.500%   7/5/27 EUR       6,045      7,060
  Deutsche Telekom AG  1.375%   7/5/34 EUR         955      1,155
  Deutsche Telekom AG  2.250%  3/29/39 EUR       1,353      1,844
  Deutsche Telekom AG  1.750%  12/9/49 EUR       1,591      1,971
  Deutsche Telekom International Finance BV  0.625%  12/1/22 EUR       6,396      7,466
  Deutsche Telekom International Finance BV  0.625%   4/3/23 EUR       3,819      4,465
  Deutsche Telekom International Finance BV  2.750% 10/24/24 EUR       1,399      1,759
  Deutsche Telekom International Finance BV  4.875%  4/22/25 EUR       4,443      5,990
  Deutsche Telekom International Finance BV  2.500% 10/10/25 GBP       4,773      6,829
  Deutsche Telekom International Finance BV  1.375%  12/1/25 EUR       7,021      8,516
  Deutsche Telekom International Finance BV  1.125%  5/22/26 EUR       2,000      2,407
  Deutsche Telekom International Finance BV  1.375%  1/30/27 EUR       3,000      3,664
  Deutsche Telekom International Finance BV  1.500%   4/3/28 EUR       4,666      5,763
  Deutsche Telekom International Finance BV  8.875% 11/27/28 GBP         286        571
  Deutsche Telekom International Finance BV  2.000%  12/1/29 EUR       8,768     11,312
  Deutsche Telekom International Finance BV  7.625%  6/15/30 GBP       1,998      3,952
  Deutsche Telekom International Finance BV  7.500%  1/24/33 EUR         286        562
  Deutsche Wohnen SE  1.000%  4/30/25 EUR       3,200      3,797
  DZ HYP AG  0.125%  9/30/22 EUR       4,137      4,808
  DZ HYP AG  0.375%   6/6/25 EUR         600        704
  DZ HYP AG  0.500% 11/13/25 EUR       5,091      6,012
  DZ HYP AG  0.750%   2/2/26 EUR       3,200      3,819
  DZ HYP AG  0.375%  3/31/26 EUR       1,973      2,319
  DZ HYP AG  0.100%  8/31/26 EUR         200        232
  DZ HYP AG  0.500%  9/30/26 EUR       3,182      3,763
  DZ HYP AG  0.500%   4/1/27 EUR       1,600      1,894
  DZ HYP AG  0.750%  6/30/27 EUR         382        458
  DZ HYP AG  0.625%  8/30/27 EUR       3,200      3,817
  DZ HYP AG  0.010% 10/27/28 EUR       9,000     10,313
  DZ HYP AG  0.875%  1/30/29 EUR       3,182      3,869
  DZ HYP AG  0.050%  6/29/29 EUR       3,182      3,642
  DZ HYP AG  0.875%  1/18/30 EUR       3,900      4,752
  DZ HYP AG  0.010%  3/29/30 EUR      13,059     14,848
  DZ HYP AG  0.875%  4/17/34 EUR       3,182      3,899
  DZ HYP AG  0.375% 11/10/34 EUR       5,000      5,764
  E.ON International Finance BV  5.625%  12/6/23 GBP         446        665
  E.ON International Finance BV  1.000%  4/13/25 EUR       1,591      1,892
  E.ON International Finance BV  1.625%  5/30/26 EUR       4,073      5,001
  E.ON International Finance BV  1.500%  7/31/29 EUR      17,626     21,820
  E.ON International Finance BV  6.250%   6/3/30 GBP       6,809     12,340
  E.ON International Finance BV  6.375%   6/7/32 GBP       2,005      3,816
  E.ON International Finance BV  4.750%  1/31/34 GBP       1,800      3,106
  E.ON International Finance BV  5.875% 10/30/37 GBP       3,650      7,313
  E.ON International Finance BV  6.750%  1/27/39 GBP         150        329
  E.ON International Finance BV  6.125%   7/6/39 GBP         950      1,991
38


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  E.ON SE  0.375%  4/20/23 EUR       4,853      5,655
  E.ON SE  0.250% 10/24/26 EUR       4,773      5,506
  E.ON SE  0.375%  9/29/27 EUR       1,591      1,843
  E.ON SE  0.750%  2/20/28 EUR       3,126      3,694
  E.ON SE  1.625%  5/22/29 EUR       5,865      7,311
  E.ON SE  0.350%  2/28/30 EUR       5,491      6,223
  E.ON SE  0.875%  8/20/31 EUR       2,050      2,412
  E.ON SE  0.625%  11/7/31 EUR       5,505      6,279
  E.ON SE  0.600%  10/1/32 EUR       1,713      1,950
  EnBW Energie Baden-Wuerttemberg AG  1.625%   8/5/79 EUR       1,100      1,279
  EnBW Energie Baden-Wuerttemberg AG  1.125%  11/5/79 EUR       4,000      4,655
  EnBW Energie Baden-Wuerttemberg AG  1.875%  6/29/80 EUR       3,300      3,913
  EnBW International Finance BV  0.625%  4/17/25 EUR       4,518      5,311
  EnBW International Finance BV  2.500%   6/4/26 EUR         637        814
  EnBW International Finance BV  0.250% 10/19/30 EUR       3,023      3,398
  EnBW International Finance BV  0.500%   3/1/33 EUR       7,000      7,830
  EnBW International Finance BV  6.125%   7/7/39 EUR       1,363      2,893
  Eurogrid GmbH  1.625%  11/3/23 EUR       4,400      5,244
  Eurogrid GmbH  1.875%  6/10/25 EUR       6,300      7,705
  Eurogrid GmbH  1.500%  4/18/28 EUR       2,000      2,459
  Evonik Industries AG  0.625%  9/18/25 EUR       1,600      1,877
  EWE AG  0.250%   6/8/28 EUR       5,000      5,694
  EWE AG  0.375% 10/22/32 EUR      18,581     20,454
  Fresenius Finance Ireland plc  1.500%  1/30/24 EUR       3,321      3,955
  Fresenius Finance Ireland plc  0.500%  10/1/28 EUR       3,530      4,019
  Fresenius Finance Ireland plc  3.000%  1/30/32 EUR         500        684
  Fresenius Medical Care AG & Co. KGaA  0.250% 11/29/23 EUR       2,291      2,663
  Fresenius Medical Care AG & Co. KGaA  1.500%  5/29/30 EUR       3,182      3,839
  Fresenius SE & Co. KGaA  4.000%   2/1/24 EUR       2,863      3,600
  Fresenius SE & Co. KGaA  1.625%  10/8/27 EUR       3,182      3,900
  Fresenius SE & Co. KGaA  0.750%  1/15/28 EUR       3,659      4,255
  Fresenius SE & Co. KGaA  2.875%  2/15/29 EUR       3,819      5,059
  Grand City Properties SA  1.500%  4/17/25 EUR       1,600      1,926
  Grand City Properties SA  1.375%   8/3/26 EUR       5,800      6,941
  Grand City Properties SA  1.500%  2/22/27 EUR       3,700      4,443
  Grand City Properties SA  2.500% 12/31/99 EUR         200        236
  Hamburg Commercial Bank AG  0.375%  4/27/23 EUR       3,439      4,013
  Hamburg Commercial Bank AG  0.375%  7/12/23 EUR       5,200      6,072
  Hannover Finance Luxembourg SA  5.000%  6/30/43 EUR       2,000      2,495
  Hannover Rueck SE  1.750%  10/8/40 EUR       6,000      7,133
  HeidelbergCement AG  2.250%  3/30/23 EUR       2,545      3,024
  HeidelbergCement AG  2.250%   6/3/24 EUR       3,405      4,142
  HeidelbergCement AG  1.500%   2/7/25 EUR       4,455      5,356
  HeidelbergCement Finance Luxembourg SA  2.500%  10/9/24 EUR       4,000      4,932
  HeidelbergCement Finance Luxembourg SA  1.625%   4/7/26 EUR       2,450      2,980
  HeidelbergCement Finance Luxembourg SA  1.125%  12/1/27 EUR       6,182      7,377
  HeidelbergCement Finance Luxembourg SA  1.750%  4/24/28 EUR       5,564      6,863
  Hella GmbH & Co. KGaA  1.000%  5/17/24 EUR         156        182
  HOCHTIEF AG  0.625%  4/26/29 EUR       1,000      1,116
  Infineon Technologies AG  2.000%  6/24/32 EUR       1,000      1,260
  ING-DiBa AG  0.250%  10/9/23 EUR       1,600      1,868
  ING-DiBa AG  0.250% 11/16/26 EUR       1,600      1,871
  ING-DiBa AG  0.125%  5/23/27 EUR      16,600     19,246
  ING-DiBa AG  1.250%  10/9/33 EUR       4,200      5,364
  ING-DiBa AG  1.000%  5/23/39 EUR       6,100      7,707
39


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Landesbank Baden-Wuerttemberg  0.200% 12/13/21 EUR       2,300      2,662
  Landesbank Baden-Wuerttemberg  0.125%  2/21/22 EUR         975      1,129
  Landesbank Baden-Wuerttemberg  0.200%  1/10/24 EUR         637        743
  Landesbank Baden-Wuerttemberg  0.375%  5/24/24 EUR         200        234
  Landesbank Baden-Wuerttemberg  0.250%  1/10/25 EUR       3,200      3,738
  Landesbank Baden-Wuerttemberg  1.500%   2/3/25 GBP       6,100      8,351
  Landesbank Baden-Wuerttemberg  0.375%  2/27/25 EUR       3,182      3,732
  Landesbank Baden-Wuerttemberg  0.375%  2/18/27 EUR      21,200     24,542
  Landesbank Baden-Wuerttemberg  0.010%  9/18/28 EUR       2,612      2,992
  Landesbank Baden-Wuerttemberg  0.375%   5/7/29 EUR       5,900      6,681
  Landesbank Hessen-Thueringen Girozentrale  0.125% 11/21/22 EUR       7,200      8,371
  Landesbank Hessen-Thueringen Girozentrale  0.250%  3/20/23 EUR       4,800      5,595
  Landesbank Hessen-Thueringen Girozentrale  1.875%  6/26/23 EUR         100        120
  Landesbank Hessen-Thueringen Girozentrale  0.375%   2/8/24 EUR       3,200      3,748
  Landesbank Hessen-Thueringen Girozentrale  0.125% 11/19/24 EUR         700        816
  Landesbank Hessen-Thueringen Girozentrale  0.375%  5/12/25 EUR       2,900      3,392
  LANXESS AG  1.125%  5/16/25 EUR       3,023      3,613
  LEG Immobilien SE  1.250%  1/23/24 EUR         100        118
  LEG Immobilien SE  0.875% 11/28/27 EUR       1,600      1,880
  Merck Financial Services GmbH  0.005% 12/15/23 EUR       6,400      7,423
  Merck KGaA  1.625%   9/9/80 EUR       3,500      4,137
  Muenchener Hypothekenbank eG  0.500%  4/22/26 EUR      10,300     12,170
  Muenchener Hypothekenbank eG  0.625% 10/23/26 EUR         382        455
  Muenchener Hypothekenbank eG  0.625%   5/7/27 EUR       4,137      4,932
  Muenchener Hypothekenbank eG  0.625% 11/10/27 EUR       4,773      5,696
  Muenchener Hypothekenbank eG  2.500%   7/4/28 EUR       4,057      5,434
  Muenchener Hypothekenbank eG  1.000%  4/18/39 EUR       2,959      3,723
  Muenchener Hypothekenbank eG  0.010%  11/2/40 EUR       1,530      1,622
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen  1.250%  5/26/41 EUR       5,000      5,737
  Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen  3.250%  5/26/49 EUR       1,400      1,840
  Norddeutsche Landesbank-Girozentrale  0.375%  10/9/24 EUR         350        410
  Norddeutsche Landesbank-Girozentrale  0.250% 10/28/26 EUR       3,182      3,708
  O2 Telefonica Deutschland Finanzierungs GmbH  1.750%   7/5/25 EUR       2,200      2,669
  Robert Bosch Investment Nederland BV  2.625%  5/24/28 EUR         200        268
  RWE AG  0.625%  6/11/31 EUR       2,000      2,291
  Santander Consumer Bank AG  0.250% 10/15/24 EUR       4,600      5,334
  SAP SE  1.125%  2/20/23 EUR         843        989
  SAP SE  0.000%  5/17/23 EUR       2,000      2,322
  SAP SE  0.750% 12/10/24 EUR         200        237
  SAP SE  0.125%  5/18/26 EUR       5,000      5,787
  SAP SE  1.750%  2/22/27 EUR       3,000      3,752
  SAP SE  1.250%  3/10/28 EUR       1,900      2,330
  SAP SE  0.375%  5/18/29 EUR       2,000      2,319
  SAP SE  1.625%  3/10/31 EUR       5,500      6,978
  Siemens Financieringsmaatschappij NV  0.250%   6/5/24 EUR       8,600     10,034
  Siemens Financieringsmaatschappij NV  0.000%   9/5/24 EUR       4,439      5,138
  Siemens Financieringsmaatschappij NV  2.750%  9/10/25 GBP         200        289
  Siemens Financieringsmaatschappij NV  1.000%   9/6/27 EUR       1,000      1,209
  Siemens Financieringsmaatschappij NV  2.875%  3/10/28 EUR       2,000      2,701
  Siemens Financieringsmaatschappij NV  0.250%  2/20/29 EUR       4,000      4,594
  Siemens Financieringsmaatschappij NV  0.125%   9/5/29 EUR       3,182      3,630
  Siemens Financieringsmaatschappij NV  1.250%  2/28/31 EUR       5,043      6,253
  Siemens Financieringsmaatschappij NV  0.500%  2/20/32 EUR       1,600      1,841
40


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Siemens Financieringsmaatschappij NV  0.500%   9/5/34 EUR       2,227      2,546
  Siemens Financieringsmaatschappij NV  1.750%  2/28/39 EUR       2,927      3,919
  Siemens Financieringsmaatschappij NV  3.750%  9/10/42 GBP       1,800      3,368
  Talanx AG  2.500%  7/23/26 EUR         600        775
  Talanx AG  2.250%  12/5/47 EUR       3,300      4,058
  Traton Finance Luxembourg SA  0.000%  6/14/24 EUR       6,000      6,912
  Traton Finance Luxembourg SA  0.125%  3/24/25 EUR       4,500      5,161
  Traton Finance Luxembourg SA  1.250%  3/24/33 EUR       3,100      3,546
  UniCredit Bank AG  0.125% 10/26/23 EUR         637        742
  UniCredit Bank AG  1.875%   4/9/24 EUR       1,622      1,969
  UniCredit Bank AG  0.625% 11/20/25 EUR       2,132      2,528
  UniCredit Bank AG  0.010% 11/19/27 EUR      10,000     11,504
  UniCredit Bank AG  0.010%  9/15/28 EUR       3,628      4,157
  UniCredit Bank AG  0.875%  1/11/29 EUR       4,041      4,911
  UniCredit Bank AG  0.125% 11/22/29 EUR       7,000      8,042
  UniCredit Bank AG  0.010%  6/24/30 EUR       5,000      5,674
  UniCredit Bank AG  0.250%  1/15/32 EUR       6,205      7,138
  UniCredit Bank AG  0.850%  5/22/34 EUR      14,804     18,089
  Vantage Towers AG  0.000%  3/31/25 EUR       1,000      1,146
  Vantage Towers AG  0.750%  3/31/30 EUR       1,200      1,367
  Vier Gas Transport GmbH  3.125%  7/10/23 EUR       2,578      3,145
  Vier Gas Transport GmbH  2.875%  6/12/25 EUR       3,659      4,662
  Volkswagen Bank GmbH  0.750%  6/15/23 EUR       3,628      4,246
  Volkswagen Bank GmbH  1.250%  6/10/24 EUR      15,400     18,302
  Volkswagen Bank GmbH  1.250% 12/15/25 EUR         414        494
  Volkswagen Bank GmbH  2.500%  7/31/26 EUR       1,700      2,148
  Volkswagen Financial Services AG  0.875%  4/12/23 EUR       6,350      7,436
  Volkswagen Financial Services AG  1.500%  10/1/24 EUR       1,909      2,289
  Volkswagen Financial Services AG  0.000%  2/12/25 EUR       4,000      4,580
  Volkswagen Financial Services AG  2.250% 10/16/26 EUR       5,637      7,070
  Volkswagen Financial Services AG  3.375%   4/6/28 EUR      10,363     13,928
  Volkswagen Financial Services Australia Pty Ltd.  3.300%  2/28/22 AUD         680        516
  Volkswagen Financial Services NV  1.125%  9/18/23 GBP       4,000      5,437
  Volkswagen Financial Services NV  0.875%  2/20/25 GBP       5,000      6,678
  Volkswagen Financial Services NV  2.250%  4/12/25 GBP         117        163
  Volkswagen International Finance NV  3.375% 11/16/26 GBP       2,300      3,376
  Volkswagen International Finance NV  1.875%  3/30/27 EUR       8,300     10,307
  Volkswagen International Finance NV  3.250% 11/18/30 EUR         600        828
  Volkswagen International Finance NV  4.125% 11/17/31 GBP       3,100      4,951
  Volkswagen International Finance NV  1.250%  9/23/32 EUR       1,900      2,253
  Volkswagen International Finance NV  3.300%  3/22/33 EUR         100        142
  Volkswagen International Finance NV  4.125% 11/16/38 EUR       7,300     11,754
  Volkswagen International Finance NV  1.500%  1/21/41 EUR       3,000      3,432
  Volkswagen International Finance NV  4.625%  3/29/49 EUR         306        396
  Volkswagen International Finance NV  5.125%  9/29/49 EUR       1,304      1,624
  Volkswagen International Finance NV  2.700% 12/31/99 EUR       3,700      4,373
  Volkswagen International Finance NV  3.375% 12/31/99 EUR       5,300      6,482
  Volkswagen International Finance NV  3.500% 12/31/99 EUR       6,100      7,530
  Volkswagen International Finance NV  3.875% 12/31/99 EUR       3,400      4,282
  Volkswagen International Finance NV  3.875% 12/31/99 EUR       6,800      8,573
  Volkswagen International Finance NV  4.625% 12/31/99 EUR       3,000      3,951
  Volkswagen Leasing GmbH  2.375%   9/6/22 EUR       3,200      3,781
  Volkswagen Leasing GmbH  1.000%  2/16/23 EUR       3,643      4,269
  Volkswagen Leasing GmbH  0.000%  7/12/23 EUR       5,000      5,777
41


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Volkswagen Leasing GmbH  2.625%  1/15/24 EUR         732        894
  Volkswagen Leasing GmbH  1.125%   4/4/24 EUR       3,341      3,954
  Volkswagen Leasing GmbH  1.375%  1/20/25 EUR       3,691      4,412
  Volkswagen Leasing GmbH  1.625%  8/15/25 EUR         694        839
  Volkswagen Leasing GmbH  0.500%  1/12/29 EUR       5,424      6,110
  Vonovia Finance BV  0.875%   7/3/23 EUR         100        117
  Vonovia Finance BV  2.250% 12/15/23 EUR       4,100      4,974
  Vonovia Finance BV  1.625%   4/7/24 EUR       5,000      5,982
  Vonovia Finance BV  1.250%  12/6/24 EUR       2,000      2,390
  Vonovia Finance BV  1.500%  3/31/25 EUR       1,622      1,954
  Vonovia Finance BV  1.800%  6/29/25 EUR       8,000      9,729
  Vonovia Finance BV  1.125%   9/8/25 EUR         800        954
  Vonovia Finance BV  1.500%  3/22/26 EUR       6,000      7,283
  Vonovia Finance BV  1.500%  6/10/26 EUR       1,600      1,944
  Vonovia Finance BV  0.625%   7/9/26 EUR       8,000      9,338
  Vonovia Finance BV  0.625%  10/7/27 EUR       1,900      2,196
  Vonovia Finance BV  1.500%  1/14/28 EUR         200        243
  Vonovia Finance BV  2.250%   4/7/30 EUR       3,200      4,087
  Vonovia Finance BV  1.125%  9/14/34 EUR       3,200      3,610
  Vonovia Finance BV  1.000%  1/28/41 EUR       2,000      2,086
  Vonovia Finance BV  4.000% 12/29/49 EUR         800        928
  Vonovia SE  0.625% 12/14/29 EUR       7,000      7,935
  Vonovia SE  1.000%  6/16/33 EUR       6,000      6,762
  Vonovia SE  1.500%  6/14/41 EUR       5,000      5,684
  VW Credit Canada Inc.  3.250%  3/29/23 CAD       2,705      2,241
  VW Credit Canada Inc.  1.200%  9/25/23 CAD       2,000      1,603
  VW Credit Canada Inc.  2.850%  9/26/24 CAD         539        448
  VW Credit Canada Inc.  1.500%  9/23/25 CAD       1,975      1,561
  Wintershall Dea Finance BV  0.840%  9/25/25 EUR       3,200      3,754
  Wintershall Dea Finance BV  1.332%  9/25/28 EUR       5,000      5,938
  Wintershall Dea Finance BV  1.823%  9/25/31 EUR       3,200      3,875
                   1,722,897
Hong Kong (0.0%)                           
  Cheung Kong Infrastructure Finance BVI Ltd.  1.000% 12/12/24 EUR         117        137
  Hong Kong & Shanghai Banking Corp. Ltd.  0.204%  6/25/24 JPY     200,000      1,749
                   1,886
Ireland (0.1%)                           
  AIB Mortgage Bank  0.625%   2/3/22 EUR         585        678
  Bank of Ireland Group plc  1.375%  8/29/23 EUR       4,837      5,730
  Bank of Ireland Group plc  1.000% 11/25/25 EUR       7,001      8,256
  CRH Finance DAC  3.125%   4/3/23 EUR       3,452      4,172
  CRH Finance DAC  1.375% 10/18/28 EUR         446        545
  CRH Finland Services OYJ  0.875%  11/5/23 EUR       1,700      2,001
  CRH Funding BV  1.625%   5/5/30 EUR       3,182      3,969
  CRH SMW Finance DAC  1.250%  11/5/26 EUR       9,000     10,869
  ESB Finance DAC  3.494%  1/12/24 EUR         319        397
  ESB Finance DAC  2.125%   6/8/27 EUR       2,012      2,549
  ESB Finance DAC  1.875%  6/14/31 EUR       2,591      3,308
  ESB Finance DAC  2.125%  11/5/33 EUR       2,532      3,328
  Freshwater Finance plc  5.182%  4/20/35 GBP         637      1,164
  Freshwater Finance plc  4.607% 10/17/36 GBP         358        620
  GAS Networks Ireland  1.375%  12/5/26 EUR         795        969
  Kerry Group Financial Services Unltd Co.  2.375%  9/10/25 EUR       3,341      4,173
  Ryanair DAC  1.125%  8/15/23 EUR         955      1,124
  Ryanair DAC  2.875%  9/15/25 EUR       6,918      8,649
42


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Smurfit Kappa Acquisitions ULC  2.875%  1/15/26 EUR       2,500      3,168
                   65,669
Italy (0.7%)                           
  2i Rete Gas SpA  3.000%  7/16/24 EUR       1,909      2,377
  2i Rete Gas SpA  1.608% 10/31/27 EUR       2,069      2,525
  A2A SpA  1.250%  3/16/24 EUR       1,273      1,515
  A2A SpA  0.625% 10/28/32 EUR      10,104     11,149
  ACEA SpA  1.000% 10/24/26 EUR       1,948      2,316
  ACEA SpA  1.500%   6/8/27 EUR       7,724      9,411
  ACEA SpA  0.500%   4/6/29 EUR      14,610     16,621
  Aeroporti di Roma SpA  1.625%   6/8/27 EUR       1,241      1,478
  Assicurazioni Generali SpA  5.125%  9/16/24 EUR       2,317      3,094
  Assicurazioni Generali SpA  7.750% 12/12/42 EUR       2,600      3,253
  Assicurazioni Generali SpA  5.500% 10/27/47 EUR       5,008      7,001
  Assicurazioni Generali SpA  5.000%   6/8/48 EUR         955      1,316
  ASTM SpA  1.625%   2/8/28 EUR       2,389      2,830
  Banca Monte dei Paschi di Siena SpA  2.875%  7/16/24 EUR       1,795      2,230
  Banca Monte dei Paschi di Siena SpA  2.125% 11/26/25 EUR       2,863      3,560
  Banco BPM SpA  0.625%   6/8/23 EUR       3,182      3,723
  Banco BPM SpA  1.000%  1/23/25 EUR       4,773      5,682
  Banco di Desio e della Brianza SpA  0.875%  9/12/24 EUR       5,091      6,021
  Buzzi Unicem SpA  2.125%  4/28/23 EUR         414        491
  Credit Agricole Italia SpA  0.875%  6/16/23 EUR       3,200      3,765
  Credit Agricole Italia SpA  0.250%  9/30/24 EUR       3,500      4,080
  Credit Agricole Italia SpA  0.625%  1/13/26 EUR       1,800      2,130
  Credit Agricole Italia SpA  1.000%  3/25/27 EUR       4,800      5,806
  Credit Agricole Italia SpA  0.250%  1/17/28 EUR       1,600      1,860
  Credit Agricole Italia SpA  1.625%  3/21/29 EUR         600        766
  Credit Agricole Italia SpA  1.750%  1/15/38 EUR       1,600      2,204
  Credit Agricole Italia SpA  1.000%  1/17/45 EUR         100        126
  Credito Emiliano SpA  1.125%  1/17/24 EUR       3,182      3,773
  Enel Finance International NV  4.875%  4/17/23 EUR         764        950
  Enel Finance International NV  5.250%  9/29/23 EUR         543        693
  Enel Finance International NV  0.000%  6/17/24 EUR       3,355      3,882
  Enel Finance International NV  5.625%  8/14/24 GBP       3,607      5,525
  Enel Finance International NV  1.000%  9/16/24 EUR       1,209      1,436
  Enel Finance International NV  1.966%  1/27/25 EUR      11,682     14,311
  Enel Finance International NV  1.375%   6/1/26 EUR      11,895     14,414
  Enel Finance International NV  1.125%  9/16/26 EUR         859      1,030
  Enel Finance International NV  0.000%  6/17/27 EUR       3,000      3,389
  Enel Finance International NV  0.375%  6/17/27 EUR      10,155     11,707
  Enel Finance International NV  1.000% 10/20/27 GBP         986      1,301
  Enel Finance International NV  1.125% 10/17/34 EUR       1,655      1,951
  Enel Finance International NV  0.875%  6/17/36 EUR       2,000      2,241
  Enel Finance International NV  5.750%  9/14/40 GBP       1,581      3,255
  Enel SpA  5.625%  6/21/27 EUR         500        744
  Enel SpA  5.750%  6/22/37 GBP         955      1,895
  Enel SpA  3.500%  5/24/80 EUR       7,545      9,406
  Enel SpA  3.375% 11/24/81 EUR       6,000      7,593
  Enel SpA  1.375% 12/31/99 EUR       3,000      3,404
  Enel SpA  2.250% 12/31/99 EUR      10,100     12,099
  Enel SpA  2.500% 12/31/99 EUR       3,532      4,233
  Eni SpA  2.625% 11/22/21 EUR         955      1,106
  Eni SpA  1.750%  1/18/24 EUR       5,488      6,600
  Eni SpA  0.625%  9/19/24 EUR       3,182      3,737
43


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Eni SpA  3.750%  9/12/25 EUR       2,100      2,772
  Eni SpA  1.500%   2/2/26 EUR         156        190
  Eni SpA  1.250%  5/18/26 EUR       6,000      7,231
  Eni SpA  1.500%  1/17/27 EUR       1,591      1,944
  Eni SpA  1.625%  5/17/28 EUR         955      1,184
  Eni SpA  1.125%  9/19/28 EUR       1,751      2,098
  Eni SpA  0.625%  1/23/30 EUR       8,182      9,367
  Eni SpA  1.000% 10/11/34 EUR       1,909      2,264
  Eni SpA  2.625% 12/31/99 EUR       2,545      3,059
  Eni SpA  2.750% 12/31/99 EUR       5,000      5,790
  Eni SpA  3.375% 12/31/99 EUR       3,591      4,380
  FCA Bank SpA  0.250%  2/28/23 EUR       4,773      5,541
  FCA Bank SpA  0.000%  4/16/24 EUR       6,000      6,916
  Hera SpA  0.875% 10/14/26 EUR       1,591      1,884
  Hera SpA  0.875%   7/5/27 EUR       3,182      3,777
  Hera SpA  5.200%  1/29/28 EUR       1,909      2,863
  Intesa Sanpaolo SpA  3.625%  12/5/22 EUR       1,400      1,690
  Intesa Sanpaolo SpA  1.000%  1/27/23 EUR       5,887      6,918
  Intesa Sanpaolo SpA  2.125%  8/30/23 EUR       2,545      3,063
  Intesa Sanpaolo SpA  4.000% 10/30/23 EUR       1,941      2,428
  Intesa Sanpaolo SpA  1.375%  1/18/24 EUR       4,773      5,685
  Intesa Sanpaolo SpA  3.125%   2/5/24 EUR       1,273      1,581
  Intesa Sanpaolo SpA  0.500%   3/5/24 EUR       1,600      1,879
  Intesa Sanpaolo SpA  1.500%  4/10/24 EUR       1,591      1,901
  Intesa Sanpaolo SpA  1.000%   7/4/24 EUR       1,846      2,182
  Intesa Sanpaolo SpA  0.500%  7/15/24 EUR       1,751      2,056
  Intesa Sanpaolo SpA  3.375%  1/24/25 EUR       3,400      4,371
  Intesa Sanpaolo SpA  1.250%   2/7/25 EUR         795        959
  Intesa Sanpaolo SpA  1.125%  7/14/25 EUR       1,600      1,927
  Intesa Sanpaolo SpA  1.000%  9/25/25 EUR       3,182      3,822
  Intesa Sanpaolo SpA  3.250%  2/10/26 EUR       1,300      1,711
  Intesa Sanpaolo SpA  0.375%  9/14/26 EUR       3,182      3,727
  Intesa Sanpaolo SpA  1.000% 11/19/26 EUR       4,137      4,865
  Intesa Sanpaolo SpA  1.125%  10/4/27 EUR       4,359      5,324
  Intesa Sanpaolo SpA  0.750%  3/16/28 EUR       3,000      3,454
  Intesa Sanpaolo SpA  1.750%  3/20/28 EUR       8,298     10,117
  Intesa Sanpaolo SpA  1.750%   7/4/29 EUR       2,863      3,499
  Intesa Sanpaolo SpA  2.500%  1/15/30 GBP       2,955      4,081
  Intesa Sanpaolo SpA  2.625%  3/11/36 GBP       2,500      3,390
  Iren SpA  0.875%  11/4/24 EUR       1,464      1,729
  Iren SpA  1.950%  9/19/25 EUR       1,909      2,336
  Italgas SpA  0.875%  4/24/30 EUR       1,909      2,223
  Mediobanca Banca di Credito Finanziario SpA  1.125%  7/15/25 EUR       2,227      2,637
  Mediobanca Banca di Credito Finanziario SpA  1.375% 11/10/25 EUR       3,437      4,191
  Mediobanca Banca di Credito Finanziario SpA  0.875%  1/15/26 EUR       5,091      5,953
  Mediobanca Banca di Credito Finanziario SpA  1.250% 11/24/29 EUR         828      1,034
  Snam SpA  0.000%  5/12/24 EUR         955      1,105
  Snam SpA  0.875% 10/25/26 EUR       6,254      7,409
  Snam SpA  1.000%  9/12/34 EUR       2,545      2,956
  Terna - Rete Elettrica Nazionale  1.375%  7/26/27 EUR       3,099      3,769
  Terna - Rete Elettrica Nazionale  1.000% 10/11/28 EUR       4,232      5,051
  UniCredit SpA  2.000%   3/4/23 EUR       3,182      3,780
  UniCredit SpA  5.250%  4/30/23 EUR       2,863      3,584
  UniCredit SpA  1.250%  6/25/25 EUR      10,083     11,944
  UniCredit SpA  0.325%  1/19/26 EUR       8,000      9,158
44


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  UniCredit SpA  1.200%  1/20/26 EUR       5,000      5,863
  UniCredit SpA  1.250%  6/16/26 EUR       3,141      3,721
  UniCredit SpA  0.375% 10/31/26 EUR       6,061      7,055
  UniCredit SpA  2.200%  7/22/27 EUR      19,182     23,320
  UniCredit SpA  1.800%  1/20/30 EUR       3,224      3,803
  UniCredit SpA  0.850%  1/19/31 EUR       7,989      8,914
                   491,430
Japan (0.4%)                           
  Asahi Group Holdings Ltd.  0.155% 10/23/24 EUR       2,227      2,578
  Asahi Group Holdings Ltd.  0.336%  4/19/27 EUR       3,000      3,445
  Central Nippon Expressway Co. Ltd.  0.030% 10/30/24 JPY     500,000      4,383
  Central Nippon Expressway Co. Ltd.  0.070% 10/21/25 JPY     450,000      3,949
  Central Nippon Expressway Co. Ltd.  0.050%   5/8/26 JPY   4,600,000     40,327
  Daiichi Sankyo Co. Ltd.  0.810%  7/25/36 JPY     200,000      1,804
  Denso Corp.  0.315%  3/17/28 JPY     300,000      2,648
  East Japan Railway Co.  1.162%  9/15/28 GBP       2,433      3,250
  East Japan Railway Co.  4.875%  6/14/34 GBP       1,750      3,212
  East Nippon Expressway Co. Ltd.  0.090% 12/20/22 JPY     160,000      1,404
  East Nippon Expressway Co. Ltd.  0.070%  6/20/25 JPY     420,000      3,686
  East Nippon Expressway Co. Ltd.  0.140%  7/31/29 JPY     410,000      3,591
  East Nippon Expressway Co. Ltd.  0.140% 11/29/29 JPY     400,000      3,500
  Fast Retailing Co. Ltd.  0.405%   6/6/28 JPY     500,000      4,435
  JT International Financial Services BV  1.000% 11/26/29 EUR       3,564      4,181
  JT International Financial Services BV  2.750%  9/28/33 GBP       1,622      2,361
  JT International Financial Services BV  2.375%   4/7/81 EUR       3,182      3,842
  Kansai Electric Power Co. Inc.  0.280%  4/25/24 JPY      29,000        255
  Kansai Electric Power Co. Inc.  0.470%  5/25/27 JPY      56,000        499
  Kansai Electric Power Co. Inc.  0.490%  7/23/27 JPY      78,000        695
  Kansai Electric Power Co. Inc.  0.460% 12/20/27 JPY     223,000      1,984
  Kyushu Electric Power Co. Inc.  1.064%  2/23/24 JPY      64,000        574
  Kyushu Electric Power Co. Inc.  0.170%  8/23/24 JPY      23,000        202
  Kyushu Electric Power Co. Inc.  0.430%  5/25/29 JPY      58,000        514
  Mitsubishi UFJ Financial Group Inc.  0.680%  1/26/23 EUR       3,182      3,718
  Mitsubishi UFJ Financial Group Inc.  0.872%   9/7/24 EUR       6,045      7,141
  Mitsubishi UFJ Financial Group Inc.  0.366%  7/29/26 JPY      78,000        682
  Mitsubishi UFJ Financial Group Inc.  0.652%  7/26/27 JPY      64,000        567
  Mitsubishi UFJ Financial Group Inc.  0.535%  5/31/28 JPY     100,000        880
  Mitsubishi UFJ Financial Group Inc.  0.360% 10/31/28 JPY     100,000        877
  Mitsubishi UFJ Financial Group Inc.  0.848%  7/19/29 EUR       5,091      5,961
  Mizuho Financial Group Inc.  0.523%  6/10/24 EUR       2,732      3,197
  Mizuho Financial Group Inc.  0.956% 10/16/24 EUR       1,575      1,865
  Mizuho Financial Group Inc.  0.650%  1/26/27 JPY      83,000        732
  Mizuho Financial Group Inc.  0.402%   9/6/29 EUR       1,591      1,784
  Mizuho Financial Group Inc.  0.797%  4/15/30 EUR       3,182      3,669
  Mizuho Financial Group Inc.  0.843%  4/12/33 EUR       3,000      3,399
  MUFG Bank Ltd.  1.950% 11/12/25 JPY     200,000      1,860
6 New Kansai International Airport Co. Ltd.  0.882%  6/27/23 JPY      15,900        142
  Nissan Motor Co. Ltd.  1.940%  9/15/23 EUR       5,000      5,977
2 Nissan Motor Co. Ltd.  1.940%  9/15/23 EUR         713        852
  Nissan Motor Co. Ltd.  2.652%  3/17/26 EUR       3,682      4,566
2 Nissan Motor Co. Ltd.  2.652%  3/17/26 EUR       2,100      2,604
2 Nissan Motor Co. Ltd.  3.201%  9/17/28 EUR       3,941      5,054
  NTT Finance Corp.  0.010%   3/3/25 EUR       5,736      6,615
  NTT Finance Corp.  0.342%   3/3/30 EUR       3,318      3,774
  NTT Finance Corp.  0.380%  9/20/30 JPY   1,600,000     14,239
45


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Panasonic Corp.  0.300%  9/20/23 JPY     100,000        885
  Panasonic Corp.  0.934%  3/19/25 JPY     400,000      3,603
  Panasonic Corp.  0.470%  9/18/26 JPY     600,000      5,308
  Shinkin Central Bank  0.110%  4/27/23 JPY     200,000      1,757
  Shinkin Central Bank  0.110%  6/27/23 JPY     100,000        879
  Shinkin Central Bank  0.110% 10/27/23 JPY      60,000        527
  Sumitomo Mitsui Banking Corp.  0.010%  9/10/25 EUR      36,976     42,494
  Sumitomo Mitsui Banking Corp.  0.267%  6/18/26 EUR       3,182      3,686
  Sumitomo Mitsui Banking Corp.  0.409%  11/7/29 EUR       2,227      2,577
  Sumitomo Mitsui Financial Group Inc.  0.819%  7/23/23 EUR         509        598
  Sumitomo Mitsui Financial Group Inc.  0.849%  9/12/24 JPY     500,000      4,420
  Sumitomo Mitsui Financial Group Inc.  1.546%  6/15/26 EUR       3,564      4,338
  Sumitomo Mitsui Financial Group Inc.  0.585%  3/16/28 JPY      91,000        794
  Sumitomo Mitsui Financial Group Inc.  0.632% 10/23/29 EUR       3,501      3,998
  Sumitomo Mitsui Trust Bank Ltd.  0.010% 10/15/27 EUR       5,759      6,522
  Takeda Pharmaceutical Co. Ltd.  2.250% 11/21/26 EUR       2,736      3,446
  Takeda Pharmaceutical Co. Ltd.  0.750%   7/9/27 EUR       5,000      5,876
  Takeda Pharmaceutical Co. Ltd.  1.000%   7/9/29 EUR       4,423      5,217
  Takeda Pharmaceutical Co. Ltd.  3.000% 11/21/30 EUR       6,618      9,015
  Takeda Pharmaceutical Co. Ltd.  1.375%   7/9/32 EUR       3,000      3,581
  Takeda Pharmaceutical Co. Ltd.  2.000%   7/9/40 EUR       2,705      3,436
  Toyota Motor Finance Netherlands BV  0.625%  9/26/23 EUR       7,223      8,474
  West Nippon Expressway Co. Ltd.  0.070%  9/20/23 JPY     310,000      2,727
  West Nippon Expressway Co. Ltd.  0.170%  5/22/26 JPY     290,000      2,561
  West Nippon Expressway Co. Ltd.  0.200% 10/19/26 JPY     100,000        883
                   305,076
Luxembourg (0.1%)                           
  Acef Holding SCA  0.750%  6/14/28 EUR       1,000      1,136
  ArcelorMittal SA  1.750% 11/19/25 EUR       2,308      2,788
  Blackstone Property Partners Europe Holdings Sarl  2.000%  2/15/24 EUR       4,550      5,444
  Blackstone Property Partners Europe Holdings Sarl  1.250%  4/26/27 EUR       3,039      3,532
  Blackstone Property Partners Europe Holdings Sarl  1.750%  3/12/29 EUR       5,409      6,350
  Eurofins Scientific SE  3.750%  7/17/26 EUR       5,000      6,668
  Logicor Financing Sarl  1.500% 11/14/22 EUR       2,227      2,608
  Logicor Financing Sarl  2.250%  5/13/25 EUR         986      1,207
  Logicor Financing Sarl  1.500%  7/13/26 EUR       4,000      4,793
  Logicor Financing Sarl  1.625%  7/15/27 EUR       3,182      3,820
  Logicor Financing Sarl  3.250% 11/13/28 EUR       2,482      3,265
  Logicor Financing Sarl  2.750%  1/15/30 GBP       4,000      5,634
  Logicor Financing Sarl  0.875%  1/14/31 EUR       3,000      3,295
  NORD/LB Luxembourg SA Covered Bond Bank  0.375%  6/15/23 EUR       3,200      3,729
  NORD/LB Luxembourg SA Covered Bond Bank  0.375%   3/7/24 EUR       1,600      1,865
  Prologis International Funding II SA  0.875%   7/9/29 EUR       1,909      2,235
  Prologis International Funding II SA  1.625%  6/17/32 EUR       1,273      1,544
  SELP Finance Sarl  1.250% 10/25/23 EUR       1,304      1,540
                   61,453
Mexico (0.0%)                           
  America Movil SAB de CV  1.500%  3/10/24 EUR         117        140
  America Movil SAB de CV  5.000% 10/27/26 GBP         732      1,158
  America Movil SAB de CV  0.750%  6/26/27 EUR       1,368      1,601
46


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  America Movil SAB de CV  2.125%  3/10/28 EUR       1,622      2,049
  America Movil SAB de CV  5.750%  6/28/30 GBP       1,241      2,190
  America Movil SAB de CV  4.375%   8/7/41 GBP       3,068      5,439
  America Movil SAB de CV  6.375%   9/6/73 EUR       2,673      3,420
                   15,997
Netherlands (0.9%)                           
  ABN AMRO Bank NV  0.500%  7/17/23 EUR         955      1,118
  ABN AMRO Bank NV  2.500%   9/5/23 EUR       2,227      2,706
  ABN AMRO Bank NV  2.500% 11/29/23 EUR       1,304      1,592
  ABN AMRO Bank NV  0.875%  1/15/24 EUR       1,909      2,258
  ABN AMRO Bank NV  2.375%  1/23/24 EUR       5,218      6,377
  ABN AMRO Bank NV  1.250%  5/28/25 EUR      11,600     13,890
  ABN AMRO Bank NV  0.875%  1/14/26 EUR         200        240
  ABN AMRO Bank NV  0.600%  1/15/27 EUR       4,800      5,579
  ABN AMRO Bank NV  1.500%  9/30/30 EUR       6,905      8,860
  ABN AMRO Bank NV  1.000%  4/13/31 EUR       2,600      3,212
  ABN AMRO Bank NV  1.000%   6/2/33 EUR       3,000      3,440
  ABN AMRO Bank NV  1.375%  1/10/34 EUR       4,600      5,943
  ABN AMRO Bank NV  0.375%  1/14/35 EUR      12,800     14,713
  ABN AMRO Bank NV  1.375%  1/12/37 EUR       7,000      9,161
  ABN AMRO Bank NV  1.450%  4/12/38 EUR       1,100      1,468
  ABN AMRO Bank NV  1.125%  4/23/39 EUR       1,600      2,052
  ABN AMRO Bank NV  0.400%  9/17/41 EUR       8,000      9,102
  Aegon Bank NV  0.250%  5/25/55 EUR       6,000      6,991
  Aegon Bank NV  0.375% 11/21/56 EUR       3,200      3,743
  Aegon Bank NV  0.750%  6/27/59 EUR         800        954
  Aegon NV  1.000%  12/8/23 EUR         350        415
  Aegon NV  6.625% 12/16/39 GBP         286        667
  Aegon NV  4.000%  4/25/44 EUR         637        798
  Akzo Nobel NV  1.750%  11/7/24 EUR       1,146      1,398
  Akzo Nobel NV  1.125%   4/8/26 EUR       1,304      1,577
  Alliander NV  0.375%  6/10/30 EUR       1,530      1,764
  ASML Holding NV  3.375%  9/19/23 EUR         319        394
  ASML Holding NV  1.375%   7/7/26 EUR       3,437      4,193
  ASML Holding NV  1.625%  5/28/27 EUR         446        554
  ASML Holding NV  0.625%   5/7/29 EUR       2,000      2,350
  ASR Nederland NV  5.125%  9/29/45 EUR         955      1,285
  ASR Nederland NV  3.375%   5/2/49 EUR       1,956      2,506
  Coca-Cola HBC Finance BV  1.000%  5/14/27 EUR       5,000      5,944
  Cooperatieve Rabobank UA  4.125%  9/14/22 EUR       2,545      3,049
  Cooperatieve Rabobank UA  0.500%  12/6/22 EUR       3,887      4,539
  Cooperatieve Rabobank UA  2.375%  5/22/23 EUR       1,829      2,203
  Cooperatieve Rabobank UA  3.875%  7/25/23 EUR       1,066      1,315
  Cooperatieve Rabobank UA  0.750%  8/29/23 EUR       5,500      6,464
  Cooperatieve Rabobank UA  0.625%  2/27/24 EUR       3,000      3,524
  Cooperatieve Rabobank UA  1.250%  1/14/25 GBP       1,300      1,767
  Cooperatieve Rabobank UA  4.125%  7/14/25 EUR       6,363      8,479
  Cooperatieve Rabobank UA  1.250%  3/23/26 EUR       1,846      2,243
  Cooperatieve Rabobank UA  4.250%  5/12/26 AUD         250        204
  Cooperatieve Rabobank UA  3.125%  9/15/26 CHF       5,275      6,601
  Cooperatieve Rabobank UA  1.375%   2/3/27 EUR       1,400      1,720
  Cooperatieve Rabobank UA  5.250%  9/14/27 GBP       4,967      7,936
  Cooperatieve Rabobank UA  0.875%   2/8/28 EUR       3,600      4,354
  Cooperatieve Rabobank UA  0.875%   5/5/28 EUR       5,700      6,734
  Cooperatieve Rabobank UA  0.875%   2/1/29 EUR       3,200      3,884
47


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Cooperatieve Rabobank UA  4.625%  5/23/29 GBP       3,023      4,797
  Cooperatieve Rabobank UA  4.550%  8/30/29 GBP       2,262      3,804
  Cooperatieve Rabobank UA  1.250%  5/31/32 EUR       2,400      3,033
  Cooperatieve Rabobank UA  0.625%  2/25/33 EUR       9,800     11,088
  Cooperatieve Rabobank UA  1.500%  4/26/38 EUR       2,200      2,955
  Cooperatieve Rabobank UA  0.750%  6/21/39 EUR       3,900      4,711
  Cooperatieve Rabobank UA  5.250%  5/23/41 GBP         156        333
  CTP NV  1.250%  6/21/29 EUR       2,000      2,286
  de Volksbank NV  0.500%  1/30/26 EUR       2,400      2,828
  de Volksbank NV  0.250%  6/22/26 EUR       6,000      6,858
  de Volksbank NV  0.750%  5/18/27 EUR       1,600      1,917
  de Volksbank NV  0.375%   3/3/28 EUR       3,000      3,390
  de Volksbank NV  0.750% 10/24/31 EUR       1,591      1,918
  Enexis Holding NV  0.875%  4/28/26 EUR       3,900      4,660
  Euronext NV  1.125%  6/12/29 EUR       3,000      3,593
  EXOR NV  1.750%  1/18/28 EUR       1,686      2,067
  EXOR NV  2.250%  4/29/30 EUR       4,224      5,333
  Heineken NV  1.500%  12/7/24 EUR       1,622      1,953
  Heineken NV  1.625%  3/30/25 EUR       2,545      3,092
  Heineken NV  2.875%   8/4/25 EUR       1,878      2,408
  Heineken NV  1.375%  1/29/27 EUR       3,214      3,921
  Heineken NV  2.250%  3/30/30 EUR       4,773      6,262
  Heineken NV  1.250%   5/7/33 EUR       4,000      4,751
  Heineken NV  1.750%   5/7/40 EUR       3,071      3,782
  ING Bank NV  1.875%  5/22/23 EUR       5,536      6,618
  ING Bank NV  0.875%  4/11/28 EUR       5,000      6,060
  ING Groep NV  1.000%  9/20/23 EUR       2,000      2,362
  ING Groep NV  1.125%  2/14/25 EUR       4,700      5,596
  ING Groep NV  0.100%   9/3/25 EUR       5,000      5,770
  ING Groep NV  2.125%  1/10/26 EUR       4,800      5,975
  ING Groep NV  3.000%  2/18/26 GBP       2,300      3,324
  ING Groep NV  2.500%  2/15/29 EUR       3,200      3,876
  ING Groep NV  0.250%  2/18/29 EUR       3,600      4,034
  ING Groep NV  1.625%  9/26/29 EUR       8,600     10,229
  ING Groep NV  0.250%   2/1/30 EUR       8,600      9,543
  ING Groep NV  0.875%   6/9/32 EUR       3,000      3,430
  Koninklijke Ahold Delhaize NV  1.750%   4/2/27 EUR       5,000      6,210
  Koninklijke Ahold Delhaize NV  0.375%  3/18/30 EUR       4,000      4,543
  Koninklijke DSM NV  2.375%   4/3/24 EUR       1,541      1,881
  Koninklijke DSM NV  1.000%   4/9/25 EUR       1,018      1,216
  Koninklijke DSM NV  0.250%  6/23/28 EUR       4,000      4,599
  Koninklijke KPN NV  0.625%   4/9/25 EUR       3,200      3,761
  Koninklijke KPN NV  5.000% 11/18/26 GBP       1,165      1,805
  Koninklijke KPN NV  5.750%  9/17/29 GBP       1,723      2,864
  Koninklijke KPN NV  0.875% 12/14/32 EUR       1,000      1,133
  Koninklijke Philips NV  1.375%   5/2/28 EUR       2,450      3,004
  Koninklijke Philips NV  2.000%  3/30/30 EUR       3,182      4,102
  LeasePlan Corp. NV  3.500%   4/9/25 EUR       2,000      2,564
  LeasePlan Corp. NV  0.250%  2/23/26 EUR       7,000      7,997
  Nationale-Nederlanden Bank NV  0.375%  2/26/25 EUR       4,200      4,899
  Nationale-Nederlanden Bank NV  0.375%   3/4/41 EUR      10,000     11,338
  Nationale-Nederlanden Bank NV  0.625%  9/11/55 EUR       2,500      2,954
  Nationale-Nederlanden Bank NV  0.250%  2/27/56 EUR       3,500      4,080
  Nationale-Nederlanden Bank NV  0.500% 10/10/56 EUR         100        117
  Nederlandse Gasunie NV  2.625%  7/13/22 EUR         477        563
48


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Nederlandse Gasunie NV  1.000%  5/11/26 EUR       6,118      7,335
  Nederlandse Gasunie NV  0.375%  10/3/31 EUR         955      1,083
  NIBC Bank NV  1.125%  4/19/23 EUR       7,732      9,098
  NIBC Bank NV  3.125% 11/15/23 GBP       3,900      5,509
  NIBC Bank NV  0.875%   7/8/25 EUR       8,100      9,554
  NIBC Bank NV  0.250%   9/9/26 EUR       7,000      7,964
  NIBC Bank NV  0.500%  3/19/27 EUR       4,900      5,767
  NIBC Bank NV  1.000%  9/11/28 EUR       1,600      1,945
  NIBC Bank NV  0.010% 10/15/29 EUR       3,200      3,613
  NIBC Bank NV  0.625%   6/1/58 EUR       3,700      4,379
  NN Group NV  1.625%   6/1/27 EUR       3,000      3,707
  NN Group NV  4.625%  1/13/48 EUR       4,673      6,349
  NN Group NV  4.375%  6/29/49 EUR       1,619      2,038
  PostNL NV  1.000% 11/21/24 EUR         604        715
  PostNL NV  0.625%  9/23/26 EUR       1,591      1,864
  Royal Schiphol Group NV  0.000%  4/22/25 EUR       7,230      8,318
  Royal Schiphol Group NV  2.000%  10/5/26 EUR       2,000      2,505
  Royal Schiphol Group NV  2.000%   4/6/29 EUR      11,455     14,615
  Royal Schiphol Group NV  0.875%   9/8/32 EUR       5,000      5,777
  Shell International Finance BV  1.125%   4/7/24 EUR       3,341      3,978
  Shell International Finance BV  0.375%  2/15/25 EUR       7,506      8,768
  Shell International Finance BV  1.625%  1/20/27 EUR       7,774      9,634
  Shell International Finance BV  0.125%  11/8/27 EUR       1,591      1,816
  Shell International Finance BV  1.500%   4/7/28 EUR       8,000      9,890
  Shell International Finance BV  1.250%  5/12/28 EUR         117        142
  Shell International Finance BV  0.750%  8/15/28 EUR       3,182      3,741
  Shell International Finance BV  1.000% 12/10/30 GBP       2,227      2,840
  Shell International Finance BV  1.875%   4/7/32 EUR       6,182      7,861
  Shell International Finance BV  0.875%  11/8/39 EUR       3,150      3,406
  Shell International Finance BV  1.750%  9/10/52 GBP       1,591      1,910
  Stedin Holding NV  0.875% 10/24/25 EUR       9,291     11,042
  Stedin Holding NV  1.375%  9/19/28 EUR       1,591      1,956
  Stedin Holding NV  0.500% 11/14/29 EUR       1,591      1,839
  TenneT Holding BV  0.750%  6/26/25 EUR       3,182      3,767
  TenneT Holding BV  1.375%   6/5/28 EUR      19,269     23,690
  TenneT Holding BV  1.375%  6/26/29 EUR       3,348      4,121
  TenneT Holding BV  0.875%   6/3/30 EUR       4,500      5,329
  TenneT Holding BV  1.250% 10/24/33 EUR         509        620
  TenneT Holding BV  1.875%  6/13/36 EUR       2,306      3,012
  TenneT Holding BV  1.500%   6/3/39 EUR       6,387      8,020
  TenneT Holding BV  0.500% 11/30/40 EUR       3,819      4,026
  Vesteda Finance BV  1.500%  5/24/27 EUR       1,273      1,551
  Wolters Kluwer NV  2.875%  3/21/23 EUR       1,591      1,917
  Wolters Kluwer NV  0.250%  3/30/28 EUR       1,500      1,712
  Wolters Kluwer NV  0.750%   7/3/30 EUR       1,300      1,515
                   650,685
New Zealand (0.1%)                           
  ASB Finance Ltd.  0.125% 10/18/23 EUR       1,559      1,812
  ASB Finance Ltd.  0.625% 10/18/24 EUR       1,154      1,359
  ASB Finance Ltd.  0.750%  10/9/25 EUR       1,591      1,887
  ASB Finance Ltd.  0.250%  5/21/31 EUR      24,280     27,628
  BNZ International Funding Ltd.  0.500%  5/13/23 EUR       1,622      1,896
  BNZ International Funding Ltd.  0.500%   7/3/24 EUR      15,500     18,179
  BNZ International Funding Ltd.  0.625%   7/3/25 EUR       4,773      5,635
  Fonterra Co-operative Group Ltd.  9.375%  12/4/23 GBP         382        608
49


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Fonterra Co-operative Group Ltd.  0.750%  11/8/24 EUR         484        571
  Westpac Securities NZ Ltd.  0.500%  1/17/24 EUR       3,182      3,733
  Westpac Securities NZ Ltd.  0.375%   2/5/24 CHF       1,850      2,046
  Westpac Securities NZ Ltd.  0.300%  6/25/24 EUR       2,545      2,969
                   68,323
Norway (0.5%)                           
  DNB Bank ASA  0.600%  9/25/23 EUR       1,909      2,242
  DNB Bank ASA  1.125%  3/20/28 EUR       2,959      3,466
  DNB Boligkreditt A/S  1.875% 11/21/22 EUR       4,137      4,898
  DNB Boligkreditt A/S  0.250%  4/18/23 EUR      20,031     23,350
  DNB Boligkreditt A/S  0.375% 11/20/24 EUR       3,182      3,728
  DNB Boligkreditt A/S  0.625%  1/14/26 EUR       4,773      5,656
  DNB Boligkreditt A/S  0.250%   9/7/26 EUR       6,396      7,455
  DNB Boligkreditt A/S  0.010%  5/12/28 EUR      27,000     30,912
  Eika Boligkreditt A/S  2.125%  1/30/23 EUR       3,819      4,553
  Eika Boligkreditt A/S  0.375%  2/26/25 EUR         509        596
  Eika Boligkreditt A/S  0.010%  3/23/28 EUR       3,824      4,378
  Equinor ASA  2.875%  9/10/25 EUR       8,628     11,121
  Equinor ASA  0.750%  5/22/26 EUR       5,000      5,930
  Equinor ASA  0.750%  11/9/26 EUR       4,550      5,386
  Equinor ASA  1.250%  2/17/27 EUR       6,332      7,679
  Equinor ASA  6.125% 11/27/28 GBP       4,251      7,555
  Equinor ASA  6.875%  3/11/31 GBP       2,275      4,466
  Equinor ASA  1.375%  5/22/32 EUR       9,252     11,339
  Equinor ASA  1.625%  2/17/35 EUR       3,622      4,522
  Equinor ASA  1.625%  11/9/36 EUR         637        796
  Equinor ASA  4.250%  4/10/41 GBP         400        741
  Norsk Hydro ASA  1.125%  4/11/25 EUR         382        453
  Santander Consumer Bank A/S  0.750%   3/1/23 EUR       8,900     10,411
  Santander Consumer Bank A/S  0.125%  9/11/24 EUR       4,200      4,855
  Santander Consumer Bank A/S  0.125%  4/14/26 EUR       5,000      5,711
  SpareBank 1 Boligkreditt A/S  0.750%   9/5/22 EUR       3,182      3,716
  SpareBank 1 Boligkreditt A/S  0.375%   3/9/23 EUR       3,739      4,364
  SpareBank 1 Boligkreditt A/S  0.375%  6/26/24 EUR      15,000     17,570
  SpareBank 1 Boligkreditt A/S  0.500%  1/30/25 EUR      15,000     17,652
  SpareBank 1 Boligkreditt A/S  0.125%  5/14/26 EUR       3,182      3,694
  SpareBank 1 Boligkreditt A/S  0.250%  8/30/26 EUR      13,205     15,406
  SpareBank 1 Boligkreditt A/S  1.000%  1/30/29 EUR       3,182      3,884
  SpareBank 1 Boligkreditt A/S  0.125%  11/5/29 EUR       3,182      3,643
  SpareBank 1 SMN  0.750%   7/3/23 EUR         859      1,009
  SpareBank 1 SMN  0.010%  2/18/28 EUR       3,224      3,608
  SpareBank 1 SR-Bank ASA  0.625%  3/25/24 EUR       1,273      1,494
  Sparebanken Vest Boligkreditt A/S  0.125%  3/15/23 EUR      15,000     17,457
  Sparebanken Vest Boligkreditt A/S  0.375%  2/14/24 EUR      18,824     22,049
  Sparebanken Vest Boligkreditt A/S  0.750%  2/27/25 EUR       3,182      3,775
  Sparebanken Vest Boligkreditt A/S  0.500%  2/12/26 EUR      18,432     21,717
  SR-Boligkreditt A/S  0.750%  1/18/23 EUR       3,182      3,729
  SR-Boligkreditt A/S  0.375%  10/3/24 EUR       9,009     10,553
  Statkraft A/S  2.500% 11/28/22 EUR         795        946
  Statkraft A/S  1.125%  3/20/25 EUR       4,773      5,698
  Statkraft A/S  1.500%  3/26/30 EUR         862      1,073
  Statnett SF  0.875%   3/8/25 EUR       1,591      1,883
  Statnett SF  1.250%  4/26/30 EUR       1,232      1,506
  Storebrand Livsforsikring A/S  1.875%  9/30/51 EUR       1,000      1,119
  Telenor ASA  2.500%  5/22/25 EUR         764        962
50


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Telenor ASA  0.750%  5/31/26 EUR       5,155      6,100
  Telenor ASA  1.125%  5/31/29 EUR       4,334      5,247
                   352,053
Poland (0.0%)                           
  ORLEN Capital AB  2.500%   6/7/23 EUR       1,814      2,179
  Polski Koncern Naftowy ORLEN SA  1.125%  5/27/28 EUR       1,000      1,162
                   3,341
Portugal (0.1%)                           
  Banco Santander Totta SA  1.250%  9/26/27 EUR       2,900      3,577
  Brisa-Concessao Rodoviaria SA  2.375%  5/10/27 EUR       4,200      5,367
  EDP - Energias de Portugal SA  1.625%  4/15/27 EUR       5,300      6,509
  EDP Finance BV  2.375%  3/23/23 EUR         156        187
  EDP Finance BV  1.875%  9/29/23 EUR       2,832      3,402
  EDP Finance BV  8.625%   1/4/24 GBP       2,865      4,526
  EDP Finance BV  1.125%  2/12/24 EUR       3,628      4,309
  EDP Finance BV  2.000%  4/22/25 EUR       5,155      6,341
  EDP Finance BV  1.875% 10/13/25 EUR         382        470
  EDP Finance BV  1.625%  1/26/26 EUR       9,687     11,840
  EDP Finance BV  0.375%  9/16/26 EUR       3,182      3,684
  EDP Finance BV  1.500% 11/22/27 EUR         915      1,122
  Galp Gas Natural Distribuicao SA  1.375%  9/19/23 EUR         900      1,065
  Ren Finance BV  1.750%  1/18/28 EUR         843      1,042
                   53,441
Romania (0.0%)                           
  NE Property BV  1.875%  10/9/26 EUR       1,909      2,271
Russia (0.0%)                           
  Gazprom PJSC Via Gaz Capital SA  4.250%   4/6/24 GBP       1,159      1,669
  Gazprom PJSC via Gaz Finance plc  2.950%  4/15/25 EUR       8,260     10,098
  Russian Railways Via RZD Capital plc  7.487%  3/25/31 GBP         637      1,155
                   12,922
Singapore (0.1%)                           
  DBS Bank Ltd.  0.375%  1/23/24 EUR       3,501      4,091
  DBS Group Holdings Ltd.  1.500%  4/11/28 EUR       1,591      1,877
  DBS Group Holdings Ltd.  3.980% 12/31/99 SGD         750        579
  Oversea-Chinese Banking Corp. Ltd.  0.375%   3/1/23 EUR         655        764
  Oversea-Chinese Banking Corp. Ltd.  0.625%  4/18/25 EUR       3,182      3,752
  Oversea-Chinese Banking Corp. Ltd.  4.000% 12/31/99 SGD       1,000        763
  Temasek Financial I Ltd.  0.500% 11/20/31 EUR       7,001      8,032
  Temasek Financial I Ltd.  5.125%  7/26/40 GBP       2,069      4,386
  Temasek Financial I Ltd.  1.250% 11/20/49 EUR       1,637      2,157
  United Overseas Bank Ltd.  0.500%  1/16/25 EUR       3,977      4,671
  United Overseas Bank Ltd.  0.100%  5/25/29 EUR      10,600     12,105
                   43,177
South Korea (0.0%)                           
2 LG Chem Ltd.  0.500%  4/15/23 EUR         350        407
Spain (0.7%)                           
  Abertis Infraestructuras SA  3.750%  6/20/23 EUR       3,200      3,928
  Abertis Infraestructuras SA  0.625%  7/15/25 EUR       1,300      1,518
  Abertis Infraestructuras SA  1.375%  5/20/26 EUR         100        120
  Abertis Infraestructuras SA  3.375% 11/27/26 GBP       1,000      1,455
  Abertis Infraestructuras SA  1.000%  2/27/27 EUR         200        235
  Abertis Infraestructuras SA  2.375%  9/27/27 EUR       2,300      2,890
  Abertis Infraestructuras SA  1.250%   2/7/28 EUR         600        708
51


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Abertis Infraestructuras SA  1.125%  3/26/28 EUR       3,000      3,509
  Abertis Infraestructuras SA  2.250%  3/29/29 EUR       7,400      9,259
  Abertis Infraestructuras SA  3.000%  3/27/31 EUR       1,200      1,591
  Abertis Infraestructuras SA  1.875%  3/26/32 EUR       1,900      2,301
  ACS Servicios Comunicaciones y Energia SA  1.875%  4/20/26 EUR       1,300      1,574
  Amadeus IT Group SA  2.500%  5/20/24 EUR       2,000      2,439
  Amadeus IT Group SA  1.875%  9/24/28 EUR       2,000      2,442
  AYT Cedulas Cajas Global FTA  3.750% 12/14/22 EUR         100        121
  AYT Cedulas Cajas Global FTA  4.250% 10/25/23 EUR         200        251
  AYT Cedulas Cajas Global FTA  4.750%  5/25/27 EUR       3,400      4,879
  AyT Cedulas Cajas X Fondo de Titulizacion de Activos  3.750%  6/30/25 EUR       3,200      4,182
  Banco Bilbao Vizcaya Argentaria SA  3.875%  1/30/23 EUR       1,900      2,310
  Banco Bilbao Vizcaya Argentaria SA  0.625%  3/18/23 EUR       6,700      7,844
  Banco Bilbao Vizcaya Argentaria SA  1.125%  2/28/24 EUR       1,000      1,185
  Banco Bilbao Vizcaya Argentaria SA  2.250%  6/12/24 EUR       1,000      1,228
  Banco Bilbao Vizcaya Argentaria SA  0.375%  10/2/24 EUR       1,000      1,165
  Banco Bilbao Vizcaya Argentaria SA  4.000%  2/25/25 EUR       2,300      3,014
  Banco Bilbao Vizcaya Argentaria SA  0.875% 11/22/26 EUR       4,800      5,768
  Banco Bilbao Vizcaya Argentaria SA  0.500%  1/14/27 EUR       3,400      3,901
  Banco Bilbao Vizcaya Argentaria SA  3.500%  2/10/27 EUR       5,500      7,192
  Banco Bilbao Vizcaya Argentaria SA  0.125%  3/24/27 EUR       4,000      4,574
  Banco Bilbao Vizcaya Argentaria SA  1.000%  1/16/30 EUR       3,500      4,049
  Banco de Sabadell SA  0.875%   3/5/23 EUR       1,600      1,870
  Banco de Sabadell SA  0.125% 10/20/23 EUR       2,500      2,907
  Banco de Sabadell SA  1.625%   3/7/24 EUR       6,000      7,173
  Banco de Sabadell SA  0.625%  6/10/24 EUR       9,700     11,416
  Banco de Sabadell SA  1.125%  3/11/27 EUR       2,200      2,593
  Banco Santander SA  1.375% 12/14/22 EUR       2,200      2,591
  Banco Santander SA  0.750%  6/12/23 CHF       2,000      2,212
  Banco Santander SA  2.750%  9/12/23 GBP       1,800      2,526
  Banco Santander SA  1.375%  7/31/24 GBP       1,300      1,780
  Banco Santander SA  1.125% 11/27/24 EUR       4,700      5,625
  Banco Santander SA  0.463%  12/5/24 JPY     600,000      5,278
  Banco Santander SA  1.125%  1/17/25 EUR       1,300      1,543
  Banco Santander SA  2.500%  3/18/25 EUR       3,100      3,825
  Banco Santander SA  1.000%   4/7/25 EUR      13,700     16,368
  Banco Santander SA  1.375%   1/5/26 EUR         800        961
  Banco Santander SA  1.500%  1/25/26 EUR       8,300     10,181
  Banco Santander SA  3.250%   4/4/26 EUR       3,800      4,860
  Banco Santander SA  0.300%  10/4/26 EUR       3,200      3,691
  Banco Santander SA  0.500%   2/4/27 EUR       3,600      4,134
  Banco Santander SA  0.500%  3/24/27 EUR       6,000      6,907
  Banco Santander SA  4.625%   5/4/27 EUR         600        867
  Banco Santander SA  2.125%   2/8/28 EUR         900      1,102
  Banco Santander SA  0.200%  2/11/28 EUR       3,000      3,396
  Banco Santander SA  0.310%   6/9/28 CHF       2,000      2,165
  Banco Santander SA  1.125% 10/25/28 EUR       1,600      1,972
  Banco Santander SA  0.875%   5/9/31 EUR       3,300      4,019
  Banco Santander SA  0.100%  2/27/32 EUR       5,200      5,875
  Banco Santander SA  2.000% 11/27/34 EUR       3,700      5,127
  Bankinter SA  1.000%   2/5/25 EUR       2,600      3,099
  CaixaBank SA  1.125%  1/12/23 EUR         600        704
  CaixaBank SA  1.000%   2/8/23 EUR       2,100      2,468
  CaixaBank SA  0.750%  4/18/23 EUR         600        702
52


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  CaixaBank SA  1.750% 10/24/23 EUR       3,200      3,826
  CaixaBank SA  2.375%   2/1/24 EUR       2,200      2,672
  CaixaBank SA  2.625%  3/21/24 EUR       1,800      2,216
  CaixaBank SA  1.125%  5/17/24 EUR       2,600      3,087
  CaixaBank SA  0.625%  10/1/24 EUR       2,000      2,336
  CaixaBank SA  0.375%   2/3/25 EUR       2,000      2,324
  CaixaBank SA  4.000%   2/3/25 EUR       3,900      5,097
  CaixaBank SA  3.875%  2/17/25 EUR       5,500      7,168
  CaixaBank SA  0.625%  3/27/25 EUR       5,800      6,843
  CaixaBank SA  1.000%  9/25/25 EUR       3,600      4,307
  CaixaBank SA  1.125%  3/27/26 EUR       3,200      3,822
  CaixaBank SA  1.375%  6/19/26 EUR       1,600      1,911
  CaixaBank SA  0.750%   7/9/26 EUR       9,100     10,689
  CaixaBank SA  0.750%  7/10/26 EUR       8,200      9,623
  CaixaBank SA  1.125% 11/12/26 EUR       1,600      1,887
  CaixaBank SA  0.375% 11/18/26 EUR       4,000      4,589
  CaixaBank SA  1.000%  1/17/28 EUR       1,800      2,183
  CaixaBank SA  2.750%  7/14/28 EUR       1,300      1,559
  CaixaBank SA  2.250%  4/17/30 EUR       4,500      5,427
  CaixaBank SA  1.250%  6/18/31 EUR       3,000      3,478
  CaixaBank SA  4.125%  3/24/36 EUR       1,500      2,606
  Caja Rural de Navarra SCC  0.875%   5/8/25 EUR       2,100      2,490
  Cajamar Caja Rural SCC  0.875%  6/18/23 EUR       4,800      5,638
  Canal de Isabel II Gestion SA  1.680%  2/26/25 EUR       1,100      1,330
  Cedulas TDA 6 Fondo de Titulizacion de Activos  3.875%  5/23/25 EUR         200        262
  Criteria Caixa SA  1.500%  5/10/23 EUR         900      1,065
  Criteria Caixa SA  0.875% 10/28/27 EUR       2,100      2,431
  Enagas Financiaciones SA  1.250%   2/6/25 EUR       1,700      2,043
  Eurocaja Rural SCC  0.875%  5/27/24 EUR       1,600      1,890
  FCC Aqualia SA  2.629%   6/8/27 EUR       1,500      1,907
  Ferrovial Emisiones SA  2.500%  7/15/24 EUR       1,600      1,968
  Iberdrola Finanzas SA  7.375%  1/29/24 GBP       1,450      2,250
  Iberdrola Finanzas SA  1.000%   3/7/24 EUR       1,900      2,250
  Iberdrola Finanzas SA  0.875%  6/16/25 EUR       4,300      5,109
  Iberdrola Finanzas SA  1.621% 11/29/29 EUR         100        127
  Iberdrola International BV  1.750%  9/17/23 EUR       3,200      3,835
  Iberdrola International BV  0.375%  9/15/25 EUR       5,400      6,310
  Iberdrola International BV  1.125%  4/21/26 EUR       1,400      1,691
  Iberdrola International BV  1.450% 12/31/99 EUR       4,000      4,631
  Iberdrola International BV  1.874% 12/31/99 EUR       6,600      7,775
  Iberdrola International BV  1.875% 12/31/99 EUR         100        118
  Iberdrola International BV  2.250% 12/31/99 EUR       3,000      3,528
  Iberdrola International BV  3.250% 12/31/99 EUR       7,000      8,714
  IE2 Holdco SAU  2.875%   6/1/26 EUR       2,500      3,176
  IM Cedulas 10 Fondo de Titulazion de Activos  4.500%  2/21/22 EUR       2,300      2,699
  Inmobiliaria Colonial Socimi SA  1.450% 10/28/24 EUR       1,500      1,796
  Inmobiliaria Colonial Socimi SA  1.625% 11/28/25 EUR       2,700      3,272
  Inmobiliaria Colonial Socimi SA  2.000%  4/17/26 EUR       1,300      1,599
  LEG Immobilien SE  1.000%  3/14/23 EUR       5,800      6,821
  Mapfre SA  1.625%  5/19/26 EUR         200        247
  Mapfre SA  4.375%  3/31/47 EUR       1,500      1,994
  Mapfre SA  4.125%   9/7/48 EUR       2,300      3,086
  Merlin Properties Socimi SA  1.750%  5/26/25 EUR       3,077      3,718
  Merlin Properties Socimi SA  1.375%   6/1/30 EUR       3,000      3,425
  Merlin Properties Socimi SA  1.875%  12/4/34 EUR       1,900      2,171
53


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Naturgy Capital Markets SA  1.125%  4/11/24 EUR       1,400      1,659
  Naturgy Finance BV  2.875%  3/11/24 EUR       1,300      1,605
  Naturgy Finance BV  0.875%  5/15/25 EUR       4,900      5,808
  Naturgy Finance BV  1.250%  4/19/26 EUR       2,900      3,493
  Naturgy Finance BV  1.500%  1/29/28 EUR       1,600      1,968
  Naturgy Finance BV  0.750% 11/28/29 EUR       2,000      2,346
  NorteGas Energia Distribucion SAU  2.065%  9/28/27 EUR       3,341      4,129
  Programa Cedulas TDA Fondo de Titulizacion de Activos  4.250%  3/28/27 EUR       2,700      3,799
  Programa Cedulas TDA Fondo de Titulizacion de Activos  4.250%  4/10/31 EUR       6,300      9,894
  Prosegur Cash SA  1.375%   2/4/26 EUR         200        241
  Red Electrica Financiaciones SAU  2.125%   7/1/23 EUR       2,200      2,640
  Redexis Gas Finance BV  1.875%  5/28/25 EUR       3,000      3,640
  Redexis Gas Finance BV  1.875%  4/27/27 EUR       6,837      8,369
  Repsol International Finance BV  2.250% 12/10/26 EUR       3,200      4,077
  Repsol International Finance BV  0.250%   8/2/27 EUR         200        230
  Santander Consumer Finance SA  0.875%  5/30/23 EUR       1,100      1,293
  Santander Consumer Finance SA  1.125%  10/9/23 EUR       4,800      5,684
  Santander Consumer Finance SA  1.000%  2/27/24 EUR       3,500      4,140
  Santander Consumer Finance SA  0.375%  6/27/24 EUR       3,200      3,728
  Santander Consumer Finance SA  0.375%  1/17/25 EUR       7,900      9,187
  Santander Consumer Finance SA  0.000%  2/23/26 EUR       2,000      2,276
  Telefonica Emisiones SA  5.289%  12/9/22 GBP         150        215
  Telefonica Emisiones SA  3.987%  1/23/23 EUR       6,400      7,786
  Telefonica Emisiones SA  1.069%   2/5/24 EUR       5,500      6,503
  Telefonica Emisiones SA  1.460%  4/13/26 EUR       1,300      1,583
  Telefonica Emisiones SA  1.447%  1/22/27 EUR       2,900      3,526
  Telefonica Emisiones SA  2.318% 10/17/28 EUR         100        130
  Telefonica Emisiones SA  1.788%  3/12/29 EUR       5,800      7,278
  Telefonica Emisiones SA  5.445%  10/8/29 GBP       2,250      3,847
  Telefonica Emisiones SA  2.932% 10/17/29 EUR       3,700      5,030
  Telefonica Emisiones SA  0.664%   2/3/30 EUR       5,900      6,813
  Telefonica Emisiones SA  1.807%  5/21/32 EUR       1,900      2,378
  Telefonica Emisiones SA  1.957%   7/1/39 EUR       2,545      3,245
  Telefonica Europe BV  5.875%  2/14/33 EUR         265        463
                   533,588
Sweden (0.9%)                           
  Akelius Residential Property AB  1.125%  3/14/24 EUR       3,786      4,475
  Akelius Residential Property AB  1.750%   2/7/25 EUR         477        577
  Akelius Residential Property AB  2.375%  8/15/25 GBP         955      1,343
  Akelius Residential Property Financing BV  1.125%  1/11/29 EUR       5,030      5,775
  Akelius Residential Property Financing BV  0.750%  2/22/30 EUR       3,200      3,529
  Atlas Copco AB  2.500%  2/28/23 EUR       1,432      1,714
  Balder Finland OYJ  1.375%  5/24/30 EUR       4,000      4,543
  Danske Hypotek AB  1.000% 12/21/22 SEK      64,000      7,534
  Essity AB  1.125%  3/27/24 EUR         541        642
  Essity AB  1.625%  3/30/27 EUR         509        627
  Essity AB  0.250%   2/8/31 EUR       3,530      3,889
  Fastighets AB Balder  1.875%  1/23/26 EUR       2,863      3,456
  Fastighets AB Balder  1.125%  1/29/27 EUR       3,023      3,518
  Fastighets AB Balder  1.250%  1/28/28 EUR         804        928
  Investor AB  4.500%  5/12/23 EUR         637        790
  Investor AB  0.375% 10/29/35 EUR       4,000      4,364
  Lansforsakringar Hypotek AB  1.250%  9/20/23 SEK     175,100     20,790
54


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Lansforsakringar Hypotek AB  0.375%  3/14/24 EUR         446        522
  Lansforsakringar Hypotek AB  1.500%  9/18/24 SEK      51,000      6,136
  Lansforsakringar Hypotek AB  1.000%  9/15/27 SEK      22,900      2,723
  Molnlycke Holding AB  1.875%  2/28/25 EUR       1,591      1,933
  Nordea Hypotek AB  1.250%  9/20/23 SEK     159,100     18,929
  Nordea Hypotek AB  1.000%  9/18/24 SEK     409,700     48,765
  Sagax Euro Mtn NL BV  0.750%  1/26/28 EUR       5,000      5,665
  Samhallsbyggnadsbolaget i Norden AB  1.750%  1/14/25 EUR       1,909      2,290
  Samhallsbyggnadsbolaget i Norden AB  1.000%  8/12/27 EUR       7,182      8,302
  SBB Treasury OYJ  0.750% 12/14/28 EUR       7,182      7,995
  Scania CV AB  0.500%  10/6/23 EUR       5,000      5,833
  Skandinaviska Enskilda Banken AB  1.000% 12/20/23 SEK      64,000      7,581
  Skandinaviska Enskilda Banken AB  1.000% 12/18/24 SEK      16,000      1,902
  Skandinaviska Enskilda Banken AB  1.000% 12/17/25 SEK      78,000      9,271
  Skandinaviska Enskilda Banken AB  0.375%   2/9/26 EUR       6,363      7,468
  Skandinaviska Enskilda Banken AB  0.500% 12/16/26 SEK     180,000     20,599
  Skandinaviska Enskilda Banken AB  0.375%  2/11/27 EUR       2,227      2,567
  Skandinaviska Enskilda Banken AB  0.750% 11/15/27 EUR         350        420
  Skandinaviska Enskilda Banken AB  0.375%  6/21/28 EUR       5,000      5,710
  Skandinaviska Enskilda Banken AB  1.375% 10/31/28 EUR      10,047     11,890
  Skandinaviska Enskilda Banken AB  0.625% 11/12/29 EUR       3,182      3,686
  Stadshypotek AB  0.375%  2/22/23 EUR       1,289      1,504
  Stadshypotek AB  1.500%   6/1/23 SEK     185,000     22,007
  Stadshypotek AB  0.375%  2/21/24 EUR       2,196      2,572
  Stadshypotek AB  1.500%   3/1/24 SEK     112,000     13,416
  Stadshypotek AB  1.500%  12/3/24 SEK     390,000     47,003
  Stadshypotek AB  0.500%  7/11/25 EUR         955      1,126
  Stadshypotek AB  0.375%  3/13/26 EUR      11,191     13,131
  Stadshypotek AB  0.500%   6/1/26 SEK     240,000     27,891
  Stadshypotek AB  0.750%  11/1/27 EUR       2,227      2,674
  Stadshypotek AB  2.000%   9/1/28 SEK      32,000      3,949
  Svenska Handelsbanken AB  1.125% 12/14/22 EUR       4,455      5,238
  Svenska Handelsbanken AB  0.125%  6/18/24 EUR       1,591      1,852
  Svenska Handelsbanken AB  1.000%  4/15/25 EUR       5,996      7,165
  Svenska Handelsbanken AB  0.050%   9/3/26 EUR       3,214      3,675
  Svenska Handelsbanken AB  1.250%   3/2/28 EUR       1,591      1,867
  Svenska Handelsbanken AB  1.625%   3/5/29 EUR       1,819      2,173
  Svenska Handelsbanken AB  0.500%  2/18/30 EUR       3,182      3,630
  Sveriges Sakerstallda Obligationer AB  0.250%  4/19/23 EUR       1,591      1,855
  Sveriges Sakerstallda Obligationer AB  1.000%  6/12/24 SEK     112,000     13,296
  Sveriges Sakerstallda Obligationer AB  0.500%  1/29/25 EUR       3,501      4,119
  Sveriges Sakerstallda Obligationer AB  0.500%  6/11/25 SEK     240,000     27,941
  Sveriges Sakerstallda Obligationer AB  0.625% 10/30/25 EUR       1,591      1,885
  Sveriges Sakerstallda Obligationer AB  2.000%  6/17/26 SEK      38,000      4,663
  Sveriges Sakerstallda Obligationer AB  0.875%  3/29/27 EUR         156        188
  Sveriges Sakerstallda Obligationer AB  0.250%   6/9/27 SEK     100,000     11,218
  Swedbank AB  1.625% 12/28/22 GBP       1,814      2,502
  Swedbank AB  0.400%  8/29/23 EUR       1,622      1,897
  Swedbank AB  0.750%   5/5/25 EUR       1,909      2,257
  Swedbank AB  0.300%  5/20/27 EUR       8,600      9,868
  Swedbank AB  1.000% 11/22/27 EUR       1,878      2,191
  Swedbank AB  1.375%  12/8/27 GBP       5,000      6,723
  Swedbank AB  0.200%  1/12/28 EUR       7,530      8,485
  Swedbank AB  1.500%  9/18/28 EUR       2,000      2,367
  Swedbank Hypotek AB  1.000% 12/20/23 SEK     127,200     14,960
55


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Swedbank Hypotek AB  0.400%   5/8/24 EUR       1,591      1,865
  Swedbank Hypotek AB  1.000%  9/18/24 SEK     475,700     56,141
  Swedbank Hypotek AB  0.050%  5/28/25 EUR       2,000      2,318
  Swedbank Hypotek AB  0.500%   2/5/26 EUR       3,182      3,753
  Tele2 AB  1.125%  5/15/24 EUR       2,641      3,125
  Tele2 AB  2.125%  5/15/28 EUR         973      1,221
  Tele2 AB  0.750%  3/23/31 EUR         600        679
  Telia Co. AB  4.750% 11/16/21 EUR         955      1,106
  Telia Co. AB  3.875%  10/1/25 EUR         637        843
  Telia Co. AB  0.125% 11/27/30 EUR       6,459      7,107
  Telia Co. AB  2.125%  2/20/34 EUR       3,850      4,996
  Vattenfall AB  0.050% 10/15/25 EUR       1,878      2,162
  Vattenfall AB  6.875%  4/15/39 GBP       1,591      3,729
                   615,014
Switzerland (1.0%)                           
  Adecco International Financial Services BV  1.000%  12/2/24 EUR         319        380
  Aquarius & Investments plc for Zurich Insurance Co. Ltd.  4.250%  10/2/43 EUR       1,713      2,132
  Argentum Netherlands BV for Givaudan SA  2.000%  9/17/30 EUR         100        129
  Argentum Netherlands BV for Swiss Life AG  4.375% 12/29/49 EUR       2,863      3,706
  Argentum Netherlands BV for Zurich Insurance Co. Ltd.  3.500%  10/1/46 EUR       7,303      9,504
  Argentum Netherlands BV for Zurich Insurance Co. Ltd.  2.750%  2/19/49 EUR         637        810
  Basellandschaftliche Kantonalbank  0.000%  3/23/23 CHF       1,910      2,097
  Basellandschaftliche Kantonalbank  0.375%  5/13/30 CHF       1,590      1,749
  Basler Kantonalbank  0.000%  4/11/22 CHF       1,590      1,741
  Basler Kantonalbank  0.375%  8/10/23 CHF       1,690      1,869
  Basler Kantonalbank  0.300%  6/22/27 CHF       1,435      1,585
  Cloverie plc for Zurich Insurance Co. Ltd.  1.750%  9/16/24 EUR       1,718      2,095
  Cloverie plc for Zurich Insurance Co. Ltd.  1.500% 12/15/28 EUR       3,000      3,716
  Credit Suisse AG  1.000%   6/7/23 EUR       1,718      2,024
  Credit Suisse AG  1.500%  4/10/26 EUR         156        189
  Credit Suisse Group AG  1.000%  4/14/23 CHF       3,820      4,234
  Credit Suisse Group AG  1.250%  7/17/25 EUR       2,227      2,635
  Credit Suisse Group AG  2.125%  9/12/25 GBP       4,550      6,278
  Credit Suisse Group AG  3.250%   4/2/26 EUR      11,773     14,855
  Credit Suisse Group AG  1.000%  6/24/27 EUR       2,177      2,549
  Credit Suisse Group AG  0.650%  1/14/28 EUR       5,090      5,808
  Credit Suisse Group AG  2.250%   6/9/28 GBP       4,495      6,175
  Credit Suisse Group AG  0.625%  1/18/33 EUR       4,000      4,261
  Credit Suisse Schweiz AG  0.000%  7/31/25 CHF       3,630      3,980
  ELM BV for Helvetia Schweizerische Versicherungsgesellschaft AG  3.375%  9/29/47 EUR       1,909      2,466
  ELM BV for Swiss Reinsurance Co. Ltd.  2.600% 12/29/49 EUR      10,393     12,777
  Firmenich Productions Participations SAS  1.375% 10/30/26 EUR       3,182      3,876
  Firmenich Productions Participations SAS  1.750%  4/30/30 EUR       3,182      3,987
  Flughafen Zurich AG  1.500%  4/17/23 CHF         955      1,067
  Givaudan Finance Europe BV  1.000%  4/22/27 EUR       3,182      3,816
  Givaudan Finance Europe BV  1.625%  4/22/32 EUR       4,000      4,986
  Helvetia Europe SA  2.750%  9/30/41 EUR      11,000     13,724
  Holcim Finance Luxembourg SA  1.375%  5/26/23 EUR       3,341      3,942
  Holcim Finance Luxembourg SA  3.000%  1/22/24 EUR       1,782      2,201
  Holcim Finance Luxembourg SA  2.375%   4/9/25 EUR       4,000      4,957
  Holcim Finance Luxembourg SA  0.500% 11/29/26 EUR       1,000      1,165
56


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Holcim Finance Luxembourg SA  0.125%  7/19/27 EUR       3,000      3,401
  Holcim Finance Luxembourg SA  2.250%  5/26/28 EUR       2,932      3,745
  Holcim Finance Luxembourg SA  0.500%  4/23/31 EUR       4,773      5,244
  Holcim Ltd.  3.000% 11/22/22 CHF         955      1,079
  Holcim Sterling Finance Netherlands BV  3.000%  5/12/32 GBP         156        227
  Luzerner Kantonalbank AG  1.125%  6/30/23 CHF       2,545      2,848
  Nestle Finance International Ltd.  2.250% 11/30/23 GBP         286        402
  Nestle Finance International Ltd.  0.375%  1/18/24 EUR       3,819      4,469
  Nestle Finance International Ltd.  0.000%  6/14/26 EUR       5,000      5,750
  Nestle Finance International Ltd.  0.125% 11/12/27 EUR       6,000      6,898
  Nestle Finance International Ltd.  1.250%  11/2/29 EUR         955      1,176
  Nestle Finance International Ltd.  1.500%   4/1/30 EUR       3,182      4,008
  Nestle Finance International Ltd.  0.375%  5/12/32 EUR       4,000      4,506
  Nestle Finance International Ltd.  0.000%   3/3/33 EUR       7,071      7,537
  Nestle Finance International Ltd.  1.750%  11/2/37 EUR       1,941      2,575
  Nestle Finance International Ltd.  0.375%  12/3/40 EUR       2,227      2,354
  Nestle Finance International Ltd.  0.875%  6/14/41 EUR       2,000      2,294
  Novartis AG  0.625% 11/13/29 CHF         880        987
  Novartis Finance SA  0.500%  8/14/23 EUR       1,591      1,862
  Novartis Finance SA  0.125%  9/20/23 EUR       6,396      7,448
  Novartis Finance SA  1.625%  11/9/26 EUR       1,591      1,982
  Novartis Finance SA  0.000%  9/23/28 EUR       4,000      4,506
  Novartis Finance SA  1.375%  8/14/30 EUR       2,578      3,202
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.875%  2/14/22 CHF         955      1,054
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.000%   7/5/22 CHF       5,570      6,112
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.375%  8/15/22 CHF       2,390      2,653
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.125%  6/28/23 CHF      19,410     22,109
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.250%  9/29/23 CHF       2,225      2,507
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.375%  1/25/24 CHF       1,115      1,292
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.375%  2/14/24 CHF       2,545      2,888
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%  3/25/24 CHF       1,590      1,755
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.000%  5/21/24 CHF       3,375      3,807
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375% 10/15/25 CHF       1,590      1,770
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375%  1/26/26 CHF       2,545      2,834
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.500%  3/30/26 CHF       3,790      4,612
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250%  9/18/26 CHF       3,405      3,769
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.750% 12/15/26 CHF         955      1,191
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250%  1/18/27 CHF       6,365      7,043
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.500%  2/16/27 CHF         635        785
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375%  5/12/27 CHF       7,955      8,860
57


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250% 10/12/27 CHF      10,000     11,047
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.500%  1/21/28 CHF       5,000      5,945
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%   5/5/28 CHF       2,545      2,852
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375%  7/10/28 CHF       1,590      1,768
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%   9/6/28 CHF       8,910      9,730
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.625%  10/9/28 CHF       4,775      5,398
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%  1/22/29 CHF      21,880     24,521
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%   5/8/29 CHF       2,390      2,604
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%  6/15/29 CHF       4,775      5,349
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.375%  9/20/29 CHF         635        758
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.000% 10/26/29 CHF      12,500     13,596
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.000%  2/26/30 CHF      24,000     25,815
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250%  4/15/30 CHF       3,180      3,481
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.625%   7/3/30 CHF         635        777
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%  3/19/31 CHF      15,000     16,235
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.625%  5/16/31 CHF       1,115      1,260
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125%  7/15/31 CHF       2,945      3,171
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.875%  9/15/31 CHF       7,350      9,289
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.000%  5/12/32 CHF       2,390      2,801
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  2.250%  8/13/32 CHF       3,245      4,281
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.125% 11/19/32 CHF       1,225      1,312
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.625%  4/25/33 CHF       1,590      1,795
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.500%   8/2/33 CHF       5,570      6,910
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.875%   5/7/35 CHF         635        741
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%  10/5/35 CHF       1,590      1,774
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250% 10/14/36 CHF       1,290      1,382
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.625%  1/23/37 CHF       1,275      1,444
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.875%  6/25/37 CHF       1,750      2,065
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.375%   7/8/39 CHF       2,640      2,900
58


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  1.500%  12/5/40 CHF       1,590      2,107
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.500%  6/17/41 CHF       2,625      2,964
  Pfandbriefbank schweizerischer Hypothekarinstitute AG  0.250%  10/6/42 CHF       3,180      3,432
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.250%   2/3/22 CHF       1,275      1,399
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.125%  4/28/23 CHF       2,125      2,377
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  2.250%  6/16/23 CHF       3,345      3,815
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  7/25/23 CHF       5,415      5,959
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.375%  8/30/23 CHF       2,390      2,648
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.125%  3/12/24 CHF       4,775      5,269
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.750%  4/15/24 CHF         320        359
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  6/14/24 CHF      10,340     11,373
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.750%  9/23/24 CHF         700        786
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.125%  12/2/24 CHF       4,775      5,274
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.500%  7/28/25 CHF       1,590      1,779
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  2.000% 10/30/25 CHF         955      1,132
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.250%  12/1/25 CHF       4,565      5,058
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.625%  6/17/26 CHF       2,225      2,619
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.050%  11/6/26 CHF       3,180      3,484
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  1/27/27 CHF       5,000      5,460
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.375%  3/19/27 CHF       2,545      2,983
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.250%  2/11/28 CHF       1,150      1,269
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.000%  9/22/28 CHF       1,590      1,841
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.300%   4/9/29 CHF       6,365      7,073
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  1.500%  5/21/29 CHF      13,035     15,661
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.625%  7/16/29 CHF       7,640      8,622
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.500%  4/30/30 CHF       1,590      1,777
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.000%  7/19/30 CHF       8,230      8,889
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.500%  9/20/30 CHF       5,570      6,221
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.550%  1/29/31 CHF       3,025      3,397
59


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.300%   6/6/31 CHF       2,390      2,621
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.125%   9/2/31 CHF       2,225      2,389
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.125%  4/23/32 CHF      25,000     26,860
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.650%  2/15/33 CHF       3,180      3,601
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.500%  5/15/34 CHF       1,910      2,129
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.200%  7/13/35 CHF       4,775      5,102
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.600% 12/11/35 CHF       4,140      4,669
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.700%   3/4/39 CHF       1,590      1,841
  Pfandbriefzentrale der schweizerischen Kantonalbanken AG  0.020%  1/30/40 CHF       5,000      5,176
  Richemont International Holding SA  1.000%  3/26/26 EUR       4,900      5,866
  Richemont International Holding SA  1.500%  3/26/30 EUR       3,000      3,745
  Richemont International Holding SA  1.125%  5/26/32 EUR       1,530      1,850
  Richemont International Holding SA  2.000%  3/26/38 EUR       4,900      6,506
  Richemont International Holding SA  1.625%  5/26/40 EUR       3,182      4,019
  Roche Finance Europe BV  0.500%  2/27/23 EUR       2,863      3,339
  Roche Finance Europe BV  0.875%  2/25/25 EUR         156        186
  Swiss Re Finance Luxembourg SA  2.534%  4/30/50 EUR       3,500      4,377
  Swisscom AG  1.750%  7/10/24 CHF         635        728
  UBS AG  0.500%  3/31/31 EUR       4,000      4,540
  UBS Group AG  1.750% 11/16/22 EUR       1,591      1,879
  UBS Group AG  2.125%   3/4/24 EUR         200        243
  UBS Group AG  1.500% 11/30/24 EUR       2,450      2,921
  UBS Group AG  1.250%  4/17/25 EUR       6,682      7,940
  UBS Group AG  0.250%  1/29/26 EUR       1,591      1,838
  UBS Group AG  1.250%   9/1/26 EUR       8,432     10,111
  UBS Group AG  0.250%  2/24/28 EUR       6,530      7,382
  UBS Group AG  0.250%  11/5/28 EUR       7,530      8,512
  UBS Group AG  0.625%  2/24/33 EUR       3,000      3,336
  Zuercher Kantonalbank  0.250%  1/27/26 CHF       1,590      1,756
  Zuercher Kantonalbank  0.125%  5/13/26 CHF         520        571
  Zurich Finance Australia Ltd.  3.477%  5/31/23 AUD         110         85
  Zurich Finance Ireland Designated Activity Co.  1.625%  6/17/39 EUR       4,773      6,032
                   735,184
United Arab Emirates (0.0%)                           
  DP World Ltd.  4.250%  9/25/30 GBP         637        966
  Emirates NBD Bank PJSC  4.750%   2/9/28 AUD         990        802
  Emirates NBD Bank PJSC  3.050%  2/26/30 AUD         730        525
  Emirates Telecommunications Group Co. PJSC  2.750%  6/18/26 EUR       2,227      2,886
  Emirates Telecommunications Group Co. PJSC  0.375%  5/17/28 EUR       2,265      2,630
  First Abu Dhabi Bank PJSC  0.125%  2/16/26 EUR       2,500      2,877
  MDGH - GMTN BV  3.625%  5/30/23 EUR         955      1,169
  MDGH - GMTN BV  6.875%  3/14/26 GBP         124        208
                   12,063
United Kingdom (2.5%)                           
  3i Group plc  5.750%  12/3/32 GBP       1,591      2,876
  A2Dominion Housing Group Ltd.  3.500% 11/15/28 GBP       1,973      2,921
  AA Bond Co. Ltd.  6.269%   7/2/43 GBP       1,037      1,605
60


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  AA Bond Co. Ltd.  4.875%  7/31/43 GBP         500        724
  AA Bond Co. Ltd.  5.500%  7/31/50 GBP         500        772
  ABP Finance plc  6.250% 12/14/26 GBP       1,368      2,243
  Admiral Group plc  5.500%  7/25/24 GBP         764      1,145
  Affinity Sutton Capital Markets plc  4.250%  10/8/42 GBP         477        897
  Affinity Water Finance 2004 plc  5.875%  7/13/26 GBP       6,984     11,462
  Affinity Water Finance plc  4.500%  3/31/36 GBP       1,432      2,561
  Affordable Housing Finance plc  3.800%  5/20/44 GBP       1,591      3,082
  Affordable Housing Finance plc  2.893%  8/11/45 GBP         851      1,473
  Anchor Hanover Group  2.000%  7/21/51 GBP       1,000      1,341
  Anglian Water Services Financing plc  6.875%  8/21/23 GBP       1,368      2,065
  Anglian Water Services Financing plc  1.625%  8/10/25 GBP         582        808
  Anglian Water Services Financing plc  4.500%  2/22/26 GBP       5,000      7,700
  Anglian Water Services Financing plc  2.625%  6/15/27 GBP      12,146     17,572
  Anglian Water Services Financing plc  4.500%  10/5/27 GBP         888      1,418
  Anglian Water Services Financing plc  6.625%  1/15/29 GBP         119        218
  Annington Funding plc  1.650%  7/12/24 EUR       4,209      5,059
  Annington Funding plc  2.646%  7/12/25 GBP         955      1,350
  Annington Funding plc  3.685%  7/12/34 GBP       2,323      3,570
  Annington Funding plc  3.935%  7/12/47 GBP       2,846      4,788
  Arqiva Financing plc  4.882% 12/31/32 GBP         886      1,387
  Artesian Finance II plc  6.000%  9/30/33 GBP         633      1,236
  Aspire Defence Finance plc  4.674%  3/31/40 GBP       2,489      4,355
  Aspire Defence Finance plc  4.674%  3/31/40 GBP         861      1,512
  Aster Treasury plc  1.405%  1/27/36 GBP       2,000      2,570
  Aster Treasury plc  4.500% 12/18/43 GBP         859      1,692
  AstraZeneca plc  0.375%   6/3/29 EUR       6,000      6,865
  AstraZeneca plc  5.750% 11/13/31 GBP       1,273      2,393
  Aviva plc  0.625% 10/27/23 EUR         319        375
  Aviva plc  1.875% 11/13/27 EUR       4,273      5,410
  Aviva plc  4.000%  10/2/30 CAD       1,006        864
  Aviva plc  6.125%   7/5/43 EUR         764        971
  Aviva plc  3.875%   7/3/44 EUR         782        984
  Aviva plc  3.375%  12/4/45 EUR       1,909      2,426
  Aviva plc  4.375%  9/12/49 GBP       1,588      2,401
  Aviva plc  5.125%   6/4/50 GBP         737      1,170
  Aviva plc  4.000%   6/3/55 GBP       1,201      1,792
  Aviva plc  6.875%  5/20/58 GBP       2,766      5,868
  Babcock International Group plc  1.750%  10/6/22 EUR         794        928
  Babcock International Group plc  1.875%  10/5/26 GBP       1,273      1,710
  Babcock International Group plc  1.375%  9/13/27 EUR         117        136
  Backward 2017 Ltd.  2.125%  3/25/53 GBP       2,000      2,820
  Bank of Scotland plc  4.875% 12/20/24 GBP         446        683
  Barclays plc  3.125%  1/17/24 GBP       2,196      3,100
  Barclays plc  1.375%  1/24/26 EUR       6,224      7,430
  Barclays plc  3.000%   5/8/26 GBP       3,501      5,006
  Barclays plc  3.250%  2/12/27 GBP         127        184
  Barclays plc  2.166%  6/23/27 CAD       1,000        786
  Barclays plc  2.000%   2/7/28 EUR       3,277      3,862
  Barclays plc  4.000%  6/26/29 AUD       1,000        768
  Barclays plc  0.577%   8/9/29 EUR       8,000      9,008
  Barclays plc  3.750% 11/22/30 GBP       2,863      4,139
  Barclays plc  1.125%  3/22/31 EUR       3,000      3,448
  Barclays plc  1.106%  5/12/32 EUR       3,000      3,427
  BAT Capital Corp.  2.125%  8/15/25 GBP         414        572
61


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  BAT International Finance plc  0.875% 10/13/23 EUR       7,741      9,067
  BAT International Finance plc  2.750%  3/25/25 EUR       1,909      2,378
  BAT International Finance plc  1.250%  3/13/27 EUR       2,498      2,930
  BAT International Finance plc  2.250%  6/26/28 GBP       9,000     12,039
  BAT International Finance plc  2.250%  1/16/30 EUR       5,727      6,898
  BAT International Finance plc  6.000% 11/24/34 GBP       1,384      2,378
  BAT International Finance plc  2.250%   9/9/52 GBP       2,227      2,219
  BAT Netherlands Finance BV  2.375%  10/7/24 EUR       3,182      3,890
  BAT Netherlands Finance BV  3.125%   4/7/28 EUR       7,682      9,889
  Bazalgette Finance plc  2.375% 11/29/27 GBP         382        546
  Beyond Housing Ltd.  2.125%  5/17/51 GBP       1,000      1,409
  BG Energy Capital plc  1.250% 11/21/22 EUR       3,036      3,554
  BG Energy Capital plc  5.125%  12/1/25 GBP       1,912      3,002
  BG Energy Capital plc  2.250% 11/21/29 EUR       4,313      5,580
  BG Energy Capital plc  5.000%  11/4/36 GBP       2,000      3,720
  Blend Funding plc  3.459%  9/21/49 GBP       2,500      4,339
  BP Capital Markets BV  0.933%  12/4/40 EUR       2,227      2,375
  BP Capital Markets plc  1.177%  8/12/23 GBP         986      1,352
  BP Capital Markets plc  1.876%   4/7/24 EUR       4,941      5,971
  BP Capital Markets plc  0.900%   7/3/24 EUR       7,477      8,857
  BP Capital Markets plc  0.830%  9/19/24 EUR       2,545      3,007
  BP Capital Markets plc  2.030%  2/14/25 GBP         414        579
  BP Capital Markets plc  1.953%   3/3/25 EUR       2,291      2,807
  BP Capital Markets plc  3.470%  5/15/25 CAD         811        690
  BP Capital Markets plc  1.077%  6/26/25 EUR       1,686      2,010
  BP Capital Markets plc  2.972%  2/27/26 EUR       1,655      2,143
  BP Capital Markets plc  2.274%   7/3/26 GBP       4,052      5,754
  BP Capital Markets plc  2.213%  9/25/26 EUR       4,137      5,225
  BP Capital Markets plc  1.573%  2/16/27 EUR       5,277      6,461
  BP Capital Markets plc  0.831%  11/8/27 EUR       4,773      5,624
  BP Capital Markets plc  2.822%   4/7/32 EUR       8,182     11,155
  BP Capital Markets plc  3.250% 12/31/99 EUR       3,000      3,689
  BP Capital Markets plc  3.625% 12/31/99 EUR       8,182     10,190
  BP Capital Markets plc  4.250% 12/31/99 GBP       3,182      4,563
  BPHA Finance plc  4.816%  4/11/44 GBP         714      1,433
  British Land Co. plc  2.375%  9/14/29 GBP         573        796
  British Telecommunications plc  1.125%  3/10/23 EUR       2,100      2,466
  British Telecommunications plc  0.875%  9/26/23 EUR       1,273      1,492
  British Telecommunications plc  1.750%  3/10/26 EUR       1,698      2,047
  British Telecommunications plc  1.500%  6/23/27 EUR       2,245      2,668
  British Telecommunications plc  5.750%  12/7/28 GBP       1,283      2,128
  British Telecommunications plc  6.375%  6/23/37 GBP       1,909      3,629
3 Broadgate Financing plc  4.999%  10/5/33 GBP       2,070      3,228
  Bromford Housing Group Ltd.  3.125%   5/3/48 GBP         604      1,023
  BUPA Finance plc  2.000%   4/5/24 GBP       4,057      5,648
  BUPA Finance plc  5.000%  12/8/26 GBP       1,622      2,536
  Burberry Group plc  1.125%  9/21/25 GBP       1,591      2,139
  Cadent Finance plc  0.625%  9/22/24 EUR      10,498     12,301
  Cadent Finance plc  2.125%  9/22/28 GBP       3,471      4,794
  Cadent Finance plc  0.625%  3/19/30 EUR      13,571     15,455
  Cadent Finance plc  0.750%  3/11/32 EUR       1,591      1,791
  Cadent Finance plc  2.250% 10/10/35 GBP       2,545      3,407
  Cadent Finance plc  2.625%  9/22/38 GBP       1,050      1,468
  Cadent Finance plc  3.125%  3/21/40 GBP       3,883      5,785
  Cadent Finance plc  2.750%  9/22/46 GBP         684        969
62


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
2 Canary Wharf Group Investment Holdings plc  2.625%  4/23/25 GBP       3,010      4,150
2 Canary Wharf Group Investment Holdings plc  1.750%   4/7/26 EUR       1,071      1,252
  Canary Wharf Group Investment Holdings plc  1.750%   4/7/26 EUR       1,000      1,169
2 Canary Wharf Group Investment Holdings plc  3.375%  4/23/28 GBP       2,749      3,800
  Cardiff University  3.000%  12/7/55 GBP         637      1,111
  CCEP Finance Ireland DAC  0.500%   9/6/29 EUR       2,000      2,282
  CCEP Finance Ireland DAC  0.875%   5/6/33 EUR       2,000      2,269
  CCEP Finance Ireland DAC  1.500%   5/6/41 EUR       1,000      1,175
  Centrica plc  4.375%  3/13/29 GBP       6,132      9,686
  Centrica plc  7.000%  9/19/33 GBP         955      1,921
  Centrica plc  4.250%  9/12/44 GBP       4,179      7,258
  Channel Link Enterprises Finance plc  3.043%  6/30/50 GBP       1,973      2,693
  Circle Anglia Social Housing plc  7.250% 11/12/38 GBP       1,544      3,707
  Citizen Treasury plc  3.250% 10/20/48 GBP       1,509      2,571
  CK Hutchison Europe Finance 18 Ltd.  1.250%  4/13/25 EUR       5,187      6,183
  CK Hutchison Finance 16 II Ltd.  0.875%  10/3/24 EUR       3,628      4,272
  CK Hutchison Finance 16 Ltd.  1.250%   4/6/23 EUR       5,409      6,361
  CK Hutchison Group Telecom Finance SA  2.000% 10/17/27 GBP       1,591      2,178
  CK Hutchison Group Telecom Finance SA  1.500% 10/17/31 EUR       5,727      6,780
  CK Hutchison Group Telecom Finance SA  2.625% 10/17/34 GBP       1,000      1,389
  Clarion Funding plc  2.625%  1/18/29 GBP         495        721
  Clarion Funding plc  1.875%  1/22/35 GBP       3,000      4,073
  Clarion Funding plc  3.125%  4/19/48 GBP         955      1,598
  Close Brothers Finance plc  1.625%  12/3/30 GBP       5,000      6,646
  Clydesdale Bank plc  4.625%   6/8/26 GBP       4,137      6,532
  CNH Industrial Finance Europe SA  2.875%  5/17/23 EUR       2,227      2,688
  CNH Industrial Finance Europe SA  1.875%  1/19/26 EUR      11,468     13,985
  CNH Industrial Finance Europe SA  1.625%   7/3/29 EUR       2,000      2,426
  Coca-Cola Europacific Partners plc  0.750%  2/24/22 EUR       1,170      1,356
  Coca-Cola Europacific Partners plc  1.125%  5/26/24 EUR       1,846      2,195
  Coca-Cola Europacific Partners plc  2.375%   5/7/25 EUR         955      1,188
  Coca-Cola Europacific Partners plc  1.750%  3/27/26 EUR       3,819      4,698
  Coca-Cola Europacific Partners plc  1.750%  5/26/28 EUR       1,655      2,058
  Coca-Cola Europacific Partners plc  0.200%  12/2/28 EUR       4,530      5,080
  Coca-Cola Europacific Partners plc  0.700%  9/12/31 EUR       2,705      3,087
  Compass Group Finance Netherlands BV  0.625%   7/3/24 EUR         541        636
  Compass Group Finance Netherlands BV  1.500%   9/5/28 EUR       4,000      4,962
  Compass Group plc  2.000%   7/3/29 GBP         509        718
3 Connect Plus M25 Issuer plc  2.607%  3/31/39 GBP         735      1,086
  Coventry Building Society  0.500%  1/12/24 EUR         286        335
  Coventry Building Society  2.000% 12/20/30 GBP       3,000      4,071
  CPUK Finance Ltd.  3.588%  2/28/42 GBP         955      1,400
  CPUK Finance Ltd.  7.239%  2/28/42 GBP         859      1,328
  Crh Finance UK plc  4.125%  12/2/29 GBP       1,814      2,895
3,7 CTRL Section 1 Finance plc  5.234%   5/2/35 GBP          51         91
  Derby Healthcare plc  5.564%  6/30/41 GBP         162        303
  Diageo Finance plc  0.125% 10/12/23 EUR       6,000      6,971
  Diageo Finance plc  0.500%  6/19/24 EUR         272        319
  Diageo Finance plc  2.500%  3/27/32 EUR       4,773      6,478
  Diageo Finance plc  1.250%  3/28/33 GBP       2,227      2,882
  Direct Line Insurance Group plc  4.000%   6/5/32 GBP       1,000      1,494
  DWR Cymru Financing UK plc  2.375%  3/31/34 GBP         800      1,107
  DWR Cymru Financing UK plc  2.500%  3/31/36 GBP       1,117      1,658
  Eastern Power Networks plc  5.750%   3/8/24 GBP         955      1,442
  Eastern Power Networks plc  1.875%   6/1/35 GBP       2,000      2,678
63


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  easyJet FinCo BV  1.875%   3/3/28 EUR       7,294      8,546
  easyJet plc  0.875%  6/11/25 EUR       1,224      1,420
  Electricity North West Ltd.  8.875%  3/25/26 GBP         637      1,143
  EMH Treasury plc  4.500%  1/29/44 GBP         316        613
3 Eversholt Funding plc  6.697%  2/22/35 GBP         553        962
3 Eversholt Funding plc  3.529%   8/7/42 GBP       1,082      1,668
  Experian Finance plc  3.250%   4/7/32 GBP       2,182      3,317
  Fidelity International Ltd.  7.125%  2/13/24 GBP         414        637
  Fidelity International Ltd.  2.500%  11/4/26 EUR         872      1,101
  Firstgroup plc  6.875%  9/18/24 GBP         846      1,318
  Futures Treasury plc  3.375%   2/8/44 GBP         286        487
  Gatwick Funding Ltd.  5.250%  1/23/26 GBP         319        472
  Gatwick Funding Ltd.  6.125%   3/2/28 GBP       5,711      9,136
  Gatwick Funding Ltd.  5.750%  1/23/39 GBP       2,842      5,222
  Gatwick Funding Ltd.  3.125%  9/28/41 GBP       1,368      1,930
  Gatwick Funding Ltd.  3.250%  2/26/48 GBP       2,000      2,905
  Gatwick Funding Ltd.  2.625%  10/7/48 GBP         382        499
  Genfinance II plc  6.064% 12/21/39 GBP       1,878      4,074
  GlaxoSmithKline Capital plc  4.000%  6/16/25 EUR         319        422
  GlaxoSmithKline Capital plc  1.250%  5/21/26 EUR       6,773      8,217
  GlaxoSmithKline Capital plc  3.375% 12/20/27 GBP       1,241      1,882
  GlaxoSmithKline Capital plc  1.250% 10/12/28 GBP         100        134
  GlaxoSmithKline Capital plc  1.750%  5/21/30 EUR       4,226      5,344
  GlaxoSmithKline Capital plc  5.250% 12/19/33 GBP       2,335      4,359
  GlaxoSmithKline Capital plc  1.625%  5/12/35 GBP       9,282     12,144
  GlaxoSmithKline Capital plc  6.375%   3/9/39 GBP         364        816
  GlaxoSmithKline Capital plc  5.250%  4/10/42 GBP       1,386      2,923
  GlaxoSmithKline Capital plc  4.250% 12/18/45 GBP         117        229
  Global Switch Finance BV  1.375%  10/7/30 EUR         600        695
  Global Switch Holdings Ltd.  4.375% 12/13/22 GBP         319        452
  Global Switch Holdings Ltd.  1.500%  1/31/24 EUR         573        680
  Great Places Housing Group Ltd.  4.750% 10/22/42 GBP       2,455      4,856
3 Great Rolling Stock Co. plc  6.875%  7/27/35 GBP          65        114
3 Greater Gabbard OFTO plc  4.137% 11/29/32 GBP         141        219
  Greene King Finance plc  5.318%  9/15/31 GBP          89        139
  Greene King Finance plc  5.106%  3/15/34 GBP         498        774
3 Greene King Finance plc  4.064%  3/15/35 GBP         184        272
  Guinness Partnership Ltd.  4.000% 10/24/44 GBP         311        586
  Guinness Partnership Ltd.  2.000%  4/22/55 GBP       1,000      1,417
3 Gwynt y Mor OFTO plc  2.778%  2/17/34 GBP         447        631
  Hammerson Ireland Finance DAC  1.750%   6/3/27 EUR       3,000      3,459
  Hammerson plc  6.000%  2/23/26 GBP       1,273      1,960
  Hammerson plc  7.250%  4/21/28 GBP       1,273      2,148
  Hastings Group Finance plc  3.000%  5/24/25 GBP       3,501      5,026
  Heathrow Funding Ltd.  5.225%  2/15/23 GBP         700      1,004
  Heathrow Funding Ltd.  3.250%  5/21/27 CAD       2,000      1,669
  Heathrow Funding Ltd.  1.500% 10/12/27 EUR       9,530     11,416
  Heathrow Funding Ltd.  2.625%  3/16/28 GBP       3,000      4,097
  Heathrow Funding Ltd.  6.750%  12/3/28 GBP       1,612      2,699
  Heathrow Funding Ltd.  2.694% 10/13/29 CAD         700        563
  Heathrow Funding Ltd.  1.500%  2/11/30 EUR       5,259      6,224
  Heathrow Funding Ltd.  3.400%   3/8/30 CAD       2,227      1,851
  Heathrow Funding Ltd.  2.750% 10/13/31 GBP       1,591      2,235
  Heathrow Funding Ltd.  6.450% 12/10/31 GBP         971      1,792
  Heathrow Funding Ltd.  1.875%  7/12/32 EUR       1,337      1,616
64


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Heathrow Funding Ltd.  3.782%   9/4/32 CAD         859        729
  Heathrow Funding Ltd.  3.661%  1/13/33 CAD       1,900      1,589
  Heathrow Funding Ltd.  3.726%  4/13/35 CAD       2,000      1,643
  Heathrow Funding Ltd.  1.875%  3/14/36 EUR       1,331      1,584
  Heathrow Funding Ltd.  5.875%  5/13/43 GBP       4,041      8,134
  Heathrow Funding Ltd.  4.625% 10/31/46 GBP         795      1,460
  Heathrow Funding Ltd.  2.750%   8/9/51 GBP         302        420
  High Speed Rail Finance 1 plc  4.375%  11/1/38 GBP       2,132      3,618
  Hiscox Ltd.  2.000% 12/14/22 GBP         136        188
  Home Group Ltd.  3.125%  3/27/43 GBP         637      1,011
  Housing & Care 21  3.288%  11/8/49 GBP         700      1,152
  HSBC Bank plc  6.500%   7/7/23 GBP       1,591      2,355
  HSBC Bank plc  5.375%  11/4/30 GBP         319        494
  HSBC Bank plc  5.375%  8/22/33 GBP       1,591      2,819
  HSBC Holdings plc  3.196%  12/5/23 CAD       3,115      2,603
  HSBC Holdings plc  0.875%   9/6/24 EUR       5,600      6,614
  HSBC Holdings plc  1.500%  12/4/24 EUR       1,273      1,518
  HSBC Holdings plc  3.000%  6/30/25 EUR       8,432     10,615
  HSBC Holdings plc  0.309% 11/13/26 EUR      16,530     19,002
  HSBC Holdings plc  2.256% 11/13/26 GBP       2,069      2,869
  HSBC Holdings plc  1.750%  7/24/27 GBP       7,571     10,217
  HSBC Holdings plc  3.000%  7/22/28 GBP      13,091     18,693
  HSBC Holdings plc  2.625%  8/16/28 GBP         994      1,397
  HSBC Holdings plc  6.750%  9/11/28 GBP         900      1,554
  HSBC Holdings plc  3.000%  5/29/30 GBP       4,036      5,778
  HSBC Holdings plc  0.770% 11/13/31 EUR      11,363     12,891
  HSBC Holdings plc  7.000%   4/7/38 GBP       3,250      6,613
  HSBC Holdings plc  6.000%  3/29/40 GBP       2,434      4,624
  Hyde Housing Assn. Ltd.  1.750%  8/18/55 GBP       2,545      3,282
  Imperial Brands Finance Netherlands BV  1.750%  3/18/33 EUR       3,224      3,649
  Imperial Brands Finance plc  9.000%  2/17/22 GBP       2,419      3,390
  Imperial Brands Finance plc  1.375%  1/27/25 EUR         319        379
  Imperial Brands Finance plc  3.375%  2/26/26 EUR         117        150
  Imperial Brands Finance plc  2.125%  2/12/27 EUR       4,932      6,009
  Imperial Brands Finance plc  4.875%   6/7/32 GBP       2,418      3,799
  Incommunities Treasury plc  3.250%  3/21/49 GBP         986      1,694
  Informa plc  1.500%   7/5/23 EUR         414        490
  Informa plc  3.125%   7/5/26 GBP         653        932
  Juturna European Loan Conduit No. 16 plc  5.064%  8/10/33 GBP       1,176      1,946
  Karbon Homes Ltd.  3.375% 11/15/47 GBP       2,387      4,220
  Kennedy Wilson Europe Real Estate Ltd.  3.250% 11/12/25 EUR         200        246
  Land Securities Capital Markets plc  1.974%   2/8/26 GBP         319        442
  Land Securities Capital Markets plc  2.375%  3/29/29 GBP         156        221
  Land Securities Capital Markets plc  2.625%  9/22/39 GBP       1,337      1,974
  Land Securities Capital Markets plc  2.750%  9/22/59 GBP         414        673
  Leeds Building Society  1.500%  3/16/27 GBP       3,938      5,311
  Legal & General Finance plc  5.875% 12/11/31 GBP       2,227      4,182
  Legal & General Group plc  5.375% 10/27/45 GBP       1,082      1,661
  Legal & General Group plc  5.125% 11/14/48 GBP         319        501
  Legal & General Group plc  4.500%  11/1/50 GBP       1,000      1,514
  Legal & General Group plc  5.500%  6/27/64 GBP       1,561      2,730
  Liberty Living Finance plc  2.625% 11/28/24 GBP         637        901
  Libra Longhurst Group Treasury plc  5.125%   8/2/38 GBP         572      1,112
  Linde Finance BV  5.875%  4/24/23 GBP         693      1,016
  Linde Finance BV  0.550%  5/19/32 EUR       7,000      8,054
65


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Liverpool Victoria Friendly Society Ltd.  6.500%  5/22/43 GBP         875      1,263
  Lloyds Bank plc  0.625%  9/14/22 EUR       2,793      3,258
  Lloyds Bank plc  4.875%  1/13/23 EUR       2,609      3,203
  Lloyds Bank plc  0.250%  3/25/24 EUR       2,545      2,968
  Lloyds Bank plc  7.500%  4/15/24 GBP       3,236      5,093
  Lloyds Bank plc  5.125%   3/7/25 GBP       4,837      7,494
  Lloyds Bank plc  7.625%  4/22/25 GBP       2,606      4,286
  Lloyds Bank plc  0.125%  6/18/26 EUR       3,182      3,682
  Lloyds Bank plc  4.875%  3/30/27 GBP         981      1,599
  Lloyds Bank plc  6.000%   2/8/29 GBP       3,294      5,972
  Lloyds Bank plc  0.125%  9/23/29 EUR      12,727     14,541
  Lloyds Banking Group plc  3.650%  3/20/23 AUD         580        451
  Lloyds Banking Group plc  0.650%  5/30/23 JPY     100,000        882
  Lloyds Banking Group plc  0.482% 12/14/23 JPY     600,000      5,279
  Lloyds Banking Group plc  0.625%  1/15/24 EUR         891      1,039
  Lloyds Banking Group plc  2.250% 10/16/24 GBP         637        890
  Lloyds Banking Group plc  3.500%   2/3/25 CAD         828        699
  Lloyds Banking Group plc  4.000%   3/7/25 AUD       3,790      3,007
  Lloyds Banking Group plc  0.824%  5/30/25 JPY     500,000      4,389
  Lloyds Banking Group plc  0.500% 11/12/25 EUR       3,341      3,894
  Lloyds Banking Group plc  4.250% 11/22/27 AUD       1,580      1,272
  Lloyds Banking Group plc  4.500%  3/18/30 EUR       1,113      1,444
  Lloyds Banking Group plc  2.707%  12/3/35 GBP       1,955      2,667
  Logicor 2019-1 UK plc  1.875% 11/17/31 GBP       2,500      3,488
  London & Quadrant Housing Trust  2.625%   5/5/26 GBP         637        918
  London & Quadrant Housing Trust  2.625%  2/28/28 GBP         795      1,153
  London & Quadrant Housing Trust  5.500%  1/27/40 GBP         764      1,577
  London & Quadrant Housing Trust  5.486%  6/15/42 GBP       1,000      2,140
  London & Quadrant Housing Trust  3.750% 10/27/49 GBP       1,209      2,220
  London & Quadrant Housing Trust  3.125%  2/28/53 GBP         541        916
  London & Quadrant Housing Trust  2.750%  7/20/57 GBP         637      1,010
  London Power Networks plc  5.125%  3/31/23 GBP         955      1,380
  London Power Networks plc  6.125%   6/7/27 GBP         117        199
  London Power Networks plc  2.625%   3/1/29 GBP       1,500      2,174
  London Stock Exchange Group plc  1.750%  12/6/27 EUR       4,232      5,278
  London Stock Exchange Group plc  1.625%   4/6/30 GBP       3,000      4,056
  Lseg Netherlands BV  0.000%   4/6/25 EUR       5,000      5,750
  Lseg Netherlands BV  0.750%   4/6/33 EUR       4,000      4,559
  M&G plc  5.625% 10/20/51 GBP       2,200      3,515
  M&G plc  5.560%  7/20/55 GBP       3,118      5,015
  M&G plc  6.340% 12/19/63 GBP       2,050      3,634
  Manchester Airport Group Funding plc  4.125%   4/2/24 GBP         637        925
  Manchester Airport Group Funding plc  4.750%  3/31/34 GBP         637      1,064
  Manchester Airport Group Funding plc  2.875%  9/30/44 GBP       1,273      1,760
  Martlet Homes Ltd.  3.000%   5/9/52 GBP       3,082      5,135
3 Meadowhall Finance plc  4.986%  7/12/37 GBP         206        321
3 Metropolitan Funding plc  4.125%   4/5/48 GBP         637      1,147
  Metropolitan Housing Trust Ltd.  1.875%  7/28/36 GBP         600        790
  Morhomes plc  3.400%  2/19/40 GBP         573        883
  Motability Operations Group plc  0.375%   1/3/26 EUR       2,487      2,895
  Motability Operations Group plc  4.375%   2/8/27 GBP       2,736      4,301
  Motability Operations Group plc  0.125%  7/20/28 EUR       6,141      6,948
  Motability Operations Group plc  1.750%   7/3/29 GBP       3,106      4,292
  Motability Operations Group plc  5.625% 11/29/30 GBP         637      1,156
  Motability Operations Group plc  2.375%  3/14/32 GBP         156        224
66


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Motability Operations Group plc  1.500%  1/20/41 GBP       5,000      6,260
  National Express Group plc  2.500% 11/11/23 GBP       1,591      2,224
  National Grid Electricity Transmission plc  1.375%  9/16/26 GBP       1,337      1,811
  National Grid Electricity Transmission plc  2.301%  6/22/29 CAD       1,900      1,499
  National Grid Electricity Transmission plc  2.000%  9/16/38 GBP       1,846      2,472
  National Grid plc  0.163%  1/20/28 EUR      10,000     11,267
  National Grid plc  0.553%  9/18/29 EUR      15,441     17,616
  National Westminster Bank plc  0.500%  5/15/24 EUR       3,182      3,731
  Nationwide Building Society  4.375%  2/28/22 EUR       3,350      3,933
  Nationwide Building Society  5.625%  1/28/26 GBP         477        775
  Nationwide Building Society  1.500%   3/8/26 EUR       7,741      9,310
  Nationwide Building Society  3.000%   5/6/26 GBP       6,463      9,474
  Nationwide Building Society  0.625%  3/25/27 EUR       3,752      4,452
  Nationwide Building Society  3.250%  1/20/28 GBP       3,418      5,171
  Nationwide Building Society  0.250%  9/14/28 EUR      10,000     11,325
  Nationwide Building Society  2.250%  6/25/29 EUR       1,591      2,115
  Nationwide Building Society  2.000%  7/25/29 EUR      13,030     15,678
  Nationwide Building Society  1.375%  6/29/32 EUR       5,091      6,489
  Natwest Group plc  2.500%  3/22/23 EUR       4,995      5,980
  Natwest Group plc  1.750%   3/2/26 EUR      12,091     14,570
  NatWest Markets plc  1.000%  5/28/24 EUR       3,182      3,772
7 Network Rail Infrastructure Finance plc  4.750%  1/22/24 GBP       2,227      3,302
7 Network Rail Infrastructure Finance plc  4.375%  12/9/30 GBP       2,832      4,912
7 Network Rail Infrastructure Finance plc  4.750% 11/29/35 GBP       1,337      2,608
  NewRiver REIT plc  3.500%   3/7/28 GBP         573        798
  Next Group plc  3.625%  5/18/28 GBP       2,227      3,300
  NIE Finance plc  2.500% 10/27/25 GBP         867      1,231
  NIE Finance plc  6.375%   6/2/26 GBP       2,000      3,325
  Northern Gas Networks Finance plc  4.875% 11/15/35 GBP       1,209      2,139
  Northern Powergrid Holdings Co.  7.250% 12/15/22 GBP         160        234
  Northern Powergrid Yorkshire plc  5.125%   5/4/35 GBP         488        889
  Northern Powergrid Yorkshire plc  2.250%  10/9/59 GBP         509        742
  Northumbrian Water Finance plc  1.625% 10/11/26 GBP       2,196      3,023
  Northumbrian Water Finance plc  5.625%  4/29/33 GBP         826      1,546
  Northumbrian Water Finance plc  5.125%  1/23/42 GBP         146        298
  Notting Hill Genesis  3.750% 12/20/32 GBP       1,718      2,752
  Notting Hill Genesis  5.250%   7/7/42 GBP         477        988
  Notting Hill Genesis  4.375%  2/20/54 GBP       1,591      3,334
3 Octagon Healthcare Funding plc  5.333%  6/30/36 GBP         100        170
  Orbit Capital plc  3.500%  3/24/45 GBP       1,262      2,149
  Paradigm Homes Charitable Housing Assn. Ltd.  2.250%  5/20/51 GBP       2,000      2,878
3 Paragon Treasury plc  3.625%  1/21/47 GBP         637      1,096
  Peabody Capital No. 2 plc  4.625% 12/12/53 GBP         700      1,517
  Peabody Capital plc  5.250%  3/17/43 GBP       1,798      3,764
  Pearson Funding plc  1.375%   5/6/25 EUR         117        139
3 Penarian Housing Finance plc  3.212%   6/7/52 GBP         477        765
  Pension Insurance Corp. plc  8.000% 11/23/26 GBP         795      1,385
  Pension Insurance Corp. plc  5.625%  9/20/30 GBP       4,383      7,156
  Phoenix Group Holdings plc  4.375%  1/24/29 EUR       4,677      6,300
  Phoenix Group Holdings plc  5.867%  6/13/29 GBP       3,000      4,915
  Phoenix Group Holdings plc  5.625%  4/28/31 GBP         859      1,393
  Places For People Treasury plc  2.875%  8/17/26 GBP       3,277      4,774
  Platform HG Financing plc  1.625%  8/10/55 GBP       1,591      2,010
  Porterbrook Rail Finance Ltd.  7.125% 10/20/26 GBP         955      1,652
67


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Principality Building Society  2.375% 11/23/23 GBP         319        444
  Prs Finance plc  1.750% 11/24/26 GBP       5,855      8,235
  Prs Finance plc  2.000%  1/23/29 GBP       2,164      3,105
  Prudential plc  5.875%  5/11/29 GBP         353        632
  Prudential plc  6.125% 12/19/31 GBP       2,863      5,219
  Quadgas Finance plc  3.375%  9/17/29 GBP       1,495      2,163
  RAC Bond Co. plc  4.870%   5/6/46 GBP         955      1,430
2 Reckitt Benckiser Treasury Services Nederland BV  0.375%  5/19/26 EUR       1,591      1,851
  Reckitt Benckiser Treasury Services Nederland BV  0.750%  5/19/30 EUR       4,224      4,951
2 Reckitt Benckiser Treasury Services Nederland BV  0.750%  5/19/30 EUR       1,591      1,865
2 Reckitt Benckiser Treasury Services plc  1.750%  5/19/32 GBP       1,368      1,873
  RELX Capital Inc.  1.300%  5/12/25 EUR         637        765
  RELX Finance BV  0.000%  3/18/24 EUR       2,117      2,451
  RELX Finance BV  0.500%  3/10/28 EUR       6,773      7,840
  RELX Finance BV  0.875%  3/10/32 EUR         765        885
  Rentokil Initial plc  0.950% 11/22/24 EUR       1,622      1,918
  RL Finance Bonds No. 3 plc  6.125% 11/13/28 GBP       1,018      1,687
  RL Finance Bonds No. 4 plc  4.875%  10/7/49 GBP       3,405      5,307
3 RMPA Services plc  5.337%  9/30/38 GBP         368        650
  Rothesay Life plc  3.375%  7/12/26 GBP       1,909      2,749
  Royal Bank of Scotland Group plc  2.875%  9/19/26 GBP         700        997
  Royal Bank of Scotland Group plc  3.125%  3/28/27 GBP       1,909      2,750
  Royal Mail plc  1.250%  10/8/26 EUR       1,591      1,908
  RSL Finance No. 1 plc  6.625%  3/31/38 GBP         121        228
  Sage Group plc  1.625%  2/25/31 GBP       2,765      3,634
  Sanctuary Capital plc  6.697%  3/23/39 GBP         668      1,552
  Sanctuary Capital plc  5.000%  4/26/47 GBP       1,309      2,879
  Sanctuary Capital plc  2.375%  4/14/50 GBP         319        475
  Santander UK Group Holdings plc  1.125%   9/8/23 EUR       3,534      4,175
  Santander UK Group Holdings plc  0.391%  2/28/25 EUR       2,069      2,403
  Santander UK Group Holdings plc  3.625%  1/14/26 GBP       5,327      7,810
  Santander UK Group Holdings plc  2.920%   5/8/26 GBP       4,582      6,505
  Santander UK plc  0.100%  5/12/24 EUR       6,363      7,390
  Santander UK plc  1.250%  9/18/24 EUR       2,132      2,555
  Santander UK plc  0.500%  1/10/25 EUR       2,578      3,026
  Santander UK plc  5.750%   3/2/26 GBP       1,863      3,045
  Santander UK plc  5.250%  2/16/29 GBP       3,565      6,221
  Santander UK plc  3.875% 10/15/29 GBP       5,927      9,479
3 Saxon Weald Capital plc  5.375%   6/6/42 GBP         155        291
  Scotland Gas Networks plc  3.250%   3/8/27 GBP       1,655      2,443
  Scotland Gas Networks plc  4.875% 12/21/34 GBP         319        555
  Scottish Widows Ltd.  5.500%  6/16/23 GBP         795      1,154
  Segro plc  2.375% 10/11/29 GBP         382        551
  Severn Trent Utilities Finance plc  3.625%  1/16/26 GBP       2,100      3,133
  Severn Trent Utilities Finance plc  2.750%  12/5/31 GBP         414        610
  Severn Trent Utilities Finance plc  2.000%   6/2/40 GBP         382        515
  Severn Trent Utilities Finance plc  4.875%  1/24/42 GBP       1,444      2,864
  Skipton Building Society  2.000%  10/2/26 GBP         300        413
  Sky Ltd.  1.875% 11/24/23 EUR       1,751      2,108
  Sky Ltd.  2.500%  9/15/26 EUR      15,524     19,904
  Sky Ltd.  4.000% 11/26/29 GBP       1,527      2,428
  Society of Lloyd's  4.875%   2/7/47 GBP       2,227      3,411
  South Eastern Power Networks plc  5.500%   6/5/26 GBP         117        188
68


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  South Eastern Power Networks plc  5.625%  9/30/30 GBP         811      1,447
  South Eastern Power Networks plc  6.375% 11/12/31 GBP         907      1,741
  Southern Electric Power Distribution plc  5.500%   6/7/32 GBP         702      1,261
  Southern Electric Power Distribution plc  4.625%  2/20/37 GBP         464        823
  Southern Gas Networks plc  2.500%   2/3/25 GBP       1,456      2,063
  Southern Housing Group Ltd.  3.500% 10/19/47 GBP         477        785
  Southern Water Services Finance Ltd.  6.640%  3/31/26 GBP       8,836     14,625
  Southern Water Services Finance Ltd.  6.192%  3/31/29 GBP         955      1,702
  Southern Water Services Finance Ltd.  3.000%  5/28/37 GBP       1,500      2,242
  Sovereign Housing Capital plc  2.375%  11/4/48 GBP         856      1,281
  SP Distribution plc  5.875%  7/17/26 GBP         414        682
  SSE plc  1.250%  4/16/25 EUR       4,104      4,897
  SSE plc  0.875%   9/6/25 EUR         509        601
  SSE plc  8.375% 11/20/28 GBP         964      1,857
  SSE plc  1.750%  4/16/30 EUR       7,000      8,638
  SSE plc  6.250%  8/27/38 GBP         509      1,058
  Standard Chartered plc  2.900%  6/28/25 AUD       2,000      1,533
  Standard Chartered plc  1.625%  10/3/27 EUR         136        165
  Standard Chartered plc  0.850%  1/27/28 EUR       1,909      2,228
  Standard Chartered plc  4.375%  1/18/38 GBP         955      1,736
  Student Finance plc  2.666%  9/30/29 GBP         477        657
3 Swan Housing Capital plc  3.625%   3/5/48 GBP         889      1,341
3 TC Dudgeon Ofto plc  3.158% 11/12/38 GBP         175        264
3 Telereal Secured Finance plc  4.010% 12/10/33 GBP         723      1,080
3 Telereal Securitisation plc  6.165% 12/10/33 GBP         120        201
  Tesco Corporate Treasury Services plc  0.875%  5/29/26 EUR       3,214      3,781
  Tesco Corporate Treasury Services plc  0.375%  7/27/29 EUR       2,000      2,223
3 Tesco Property Finance 1 plc  7.623%  7/13/39 GBP         569      1,131
3 Tesco Property Finance 2 plc  6.052% 10/13/39 GBP       1,079      1,921
3 Tesco Property Finance 3 plc  5.744%  4/13/40 GBP       1,956      3,500
3 Tesco Property Finance 4 plc  5.801% 10/13/40 GBP       2,086      3,737
3 Tesco Property Finance 6 plc  5.411%  7/13/44 GBP       1,737      3,059
  Thames Water Utilities Finance plc  1.875%  1/24/24 GBP         477        661
  Thames Water Utilities Finance plc  2.875% 12/12/24 CAD         429        353
  Thames Water Utilities Finance plc  4.000%  6/19/25 GBP       2,545      3,799
  Thames Water Utilities Finance plc  3.500%  2/25/28 GBP         414        618
  Thames Water Utilities Finance plc  6.750% 11/16/28 GBP       1,140      2,042
  Thames Water Utilities Finance plc  2.625%  1/24/32 GBP         752      1,067
  Thames Water Utilities Finance plc  6.500%   2/9/32 GBP       2,000      3,801
  Thames Water Utilities Finance plc  4.375%   7/3/34 GBP         890      1,498
  Thames Water Utilities Finance plc  5.125%  9/28/37 GBP       2,448      4,581
  Thames Water Utilities Finance plc  2.375%  4/22/40 GBP       2,010      2,753
  Thames Water Utilities Finance plc  5.500%  2/11/41 GBP       2,379      4,811
  Thames Water Utilities Finance plc  4.625%   6/4/46 GBP         523      1,016
  Thames Water Utilities Finance plc  7.738%   4/9/58 GBP         350      1,092
  THFC Funding No. 2 plc  6.350%   7/8/41 GBP         764      1,685
  THFC Funding No. 2 plc  5.200% 10/11/43 GBP       5,218     10,908
  Unilever Finance Netherlands BV  0.375%  2/14/23 EUR         350        408
  Unilever Finance Netherlands BV  0.500%  8/12/23 EUR       3,182      3,729
  Unilever Finance Netherlands BV  1.250%  3/25/25 EUR       6,363      7,665
  Unilever Finance Netherlands BV  1.125%  2/12/27 EUR       3,214      3,901
  Unilever Finance Netherlands BV  1.375%  7/31/29 EUR       1,686      2,088
  Unilever Finance Netherlands BV  1.750%  3/25/30 EUR       3,182      4,068
  Unilever Finance Netherlands BV  1.375%   9/4/30 EUR         414        517
  Unilever plc  1.125%   2/3/22 GBP         234        321
69


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Unilever plc  1.500%  6/11/39 EUR       1,655      2,113
  UNITE USAF II plc  3.374%  6/30/28 GBP         509        720
  UNITE USAF II plc  3.921%  6/30/30 GBP       1,240      1,833
  United Utilities Water Finance plc  2.000%  2/14/25 GBP       2,545      3,565
  United Utilities Water Finance plc  2.625%  2/12/31 GBP       4,514      6,596
  United Utilities Water Finance plc  2.000%   7/3/33 GBP         637        884
  United Utilities Water Finance plc  1.875%   6/3/42 GBP         448        602
  United Utilities Water Ltd.  5.625% 12/20/27 GBP       2,167      3,662
  University of Cambridge  3.750% 10/17/52 GBP         286        605
  University of Cambridge  2.350%  6/27/78 GBP         988      1,919
  University of Manchester  4.250%   7/4/53 GBP         604      1,301
  University of Oxford  2.544%  12/8/17 GBP       3,227      5,929
  Urenco Finance NV  2.375%  12/2/24 EUR       1,273      1,564
  Virgin Money UK plc  3.375%  4/24/26 GBP       3,871      5,532
  Virgin Money UK plc  4.000%   9/3/27 GBP       1,782      2,648
  Virgin Money UK plc  5.125% 12/11/30 GBP         959      1,431
  Vodafone Group plc  3.250% 12/13/22 AUD         150        116
  Vodafone Group plc  1.875%  9/11/25 EUR       6,363      7,822
  Vodafone Group plc  1.125% 11/20/25 EUR       9,609     11,502
  Vodafone Group plc  5.625%  12/4/25 GBP         382        613
  Vodafone Group plc  2.200%  8/25/26 EUR       1,505      1,896
  Vodafone Group plc  0.900% 11/24/26 EUR       3,579      4,258
  Vodafone Group plc  1.500%  7/24/27 EUR       1,337      1,641
  Vodafone Group plc  4.200% 12/13/27 AUD       2,980      2,394
  Vodafone Group plc  1.625% 11/24/30 EUR       6,090      7,522
  Vodafone Group plc  1.600%  7/29/31 EUR       3,596      4,418
  Vodafone Group plc  5.900% 11/26/32 GBP       1,050      1,981
  Vodafone Group plc  2.875% 11/20/37 EUR         891      1,248
  Vodafone Group plc  2.500%  5/24/39 EUR       1,132      1,520
  Vodafone Group plc  3.375%   8/8/49 GBP       1,623      2,557
  Vodafone Group plc  3.000%  8/12/56 GBP       2,686      3,971
  Wales & West Utilities Finance plc  5.750%  3/29/30 GBP       1,591      2,818
  Wales & West Utilities Finance plc  3.000%   8/3/38 GBP         477        727
  Wellcome Trust Finance plc  4.625%  7/25/36 GBP       3,104      6,008
  Wellcome Trust Ltd.  4.000%   5/9/59 GBP         700      1,657
  Wellcome Trust Ltd.  1.500%  7/14/71 GBP       1,000      1,362
  Wellcome Trust Ltd.  2.517%   2/7/18 GBP       1,368      2,457
  Wessex Water Services Finance plc  5.375%  3/10/28 GBP         156        259
  Western Power Distribution East Midlands plc  5.250%  1/17/23 GBP         795      1,141
  Western Power Distribution plc  3.500% 10/16/26 GBP      12,470     18,441
  Western Power Distribution South Wales plc  5.750%  3/23/40 GBP         700      1,452
  Western Power Distribution South West plc  5.875%  3/25/27 GBP         700      1,158
  Western Power Distribution South West plc  5.750%  3/23/40 GBP         550      1,135
  Western Power Distribution West Midlands plc  3.875% 10/17/24 GBP       2,164      3,155
  Western Power Distribution West Midlands plc  5.750%  4/16/32 GBP       1,782      3,250
  Westfield Stratford City Finance No. 2 plc  1.642%   8/4/31 GBP         795      1,087
  Wheatley Group Capital plc  4.375% 11/28/44 GBP       1,432      2,717
  WHG Treasury plc  4.250%  10/6/45 GBP       1,273      2,424
  WPP Finance 2013  2.875%  9/14/46 GBP       1,000      1,389
  WPP Finance 2016  1.375%  3/20/25 EUR       4,518      5,428
  WPP Finance 2017  3.750%  5/19/32 GBP       1,771      2,729
  WPP Finance Deutschland GmbH  1.625%  3/23/30 EUR       1,158      1,430
  WPP Finance SA  2.375%  5/19/27 EUR       8,224     10,493
  Wrekin Housing Group Ltd.  2.500% 10/22/48 GBP       1,000      1,501
  Yorkshire Building Society  3.000%  4/18/25 GBP         764      1,086
70


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Yorkshire Building Society  0.625%  9/21/25 EUR       3,000      3,521
  Yorkshire Building Society  3.500%  4/21/26 GBP         350        522
  Yorkshire Building Society  0.500%   7/1/28 EUR       6,000      6,874
  Yorkshire Building Society  3.375%  9/13/28 GBP       8,333     12,009
  Yorkshire Water Finance plc  3.625%   8/1/29 GBP       2,036      3,146
  Yorkshire Water Finance plc  6.375%  8/19/39 GBP       1,074      2,397
  Yorkshire Water Finance plc  2.750%  4/18/41 GBP       2,991      4,508
  Yorkshire Water Finance plc  3.750%  3/22/46 GBP         319        446
  Yorkshire Water Services Finance Ltd.  5.500%  5/28/37 GBP         150        300
                   1,792,144
United States (3.0%)                           
  3M Co.  0.375%  2/15/22 EUR       3,316      3,842
  3M Co.  0.950%  5/15/23 EUR         637        750
  3M Co.  1.750%  5/15/30 EUR         515        654
  Abbott Ireland Financing DAC  0.875%  9/27/23 EUR       7,191      8,487
  Abbott Ireland Financing DAC  1.500%  9/27/26 EUR       5,664      6,933
  Abbott Ireland Financing DAC  0.375% 11/19/27 EUR       3,182      3,680
  AbbVie Inc.  1.500% 11/15/23 EUR         382        455
  AbbVie Inc.  1.375%  5/17/24 EUR       3,819      4,551
  AbbVie Inc.  1.250%   6/1/24 EUR       3,182      3,785
  AbbVie Inc.  0.750% 11/18/27 EUR       1,591      1,863
  AbbVie Inc.  2.625% 11/15/28 EUR         637        834
  AbbVie Inc.  2.125% 11/17/28 EUR       6,332      8,048
  AbbVie Inc.  2.125%   6/1/29 EUR       2,673      3,410
  AbbVie Inc.  1.250% 11/18/31 EUR         764        912
  Air Lease Corp.  2.625%  12/5/24 CAD       2,710      2,214
  Air Products and Chemicals Inc.  1.000%  2/12/25 EUR       1,062      1,269
  Air Products and Chemicals Inc.  0.500%   5/5/28 EUR       1,209      1,407
  Air Products and Chemicals Inc.  0.800%   5/5/32 EUR       1,090      1,266
  Altria Group Inc.  1.000%  2/15/23 EUR         764        894
  Altria Group Inc.  1.700%  6/15/25 EUR         986      1,186
  Altria Group Inc.  2.200%  6/15/27 EUR       3,993      4,914
  Altria Group Inc.  3.125%  6/15/31 EUR       6,078      7,862
  American Honda Finance Corp.  1.375% 11/10/22 EUR       1,622      1,908
  American Honda Finance Corp.  0.750%  1/17/24 EUR       2,291      2,695
  American Honda Finance Corp.  1.950% 10/18/24 EUR       6,896      8,415
  American Honda Finance Corp.  0.750% 11/25/26 GBP       2,069      2,719
  American International Group Inc.  5.000%  4/26/23 GBP       1,100      1,587
  American International Group Inc.  1.875%  6/21/27 EUR       1,686      2,071
  American Tower Corp.  1.375%   4/4/25 EUR       2,705      3,234
  American Tower Corp.  1.950%  5/22/26 EUR       5,604      6,890
  American Tower Corp.  0.450%  1/15/27 EUR       5,265      6,021
  American Tower Corp.  0.400%  2/15/27 EUR       2,600      2,964
  American Tower Corp.  0.500%  1/15/28 EUR       1,591      1,807
  American Tower Corp.  0.875%  5/21/29 EUR       3,577      4,105
  American Tower Corp.  0.950%  10/5/30 EUR       1,800      2,047
  American Tower Corp.  1.250%  5/21/33 EUR       3,186      3,635
  Amgen Inc.  1.250%  2/25/22 EUR       3,581      4,144
  Amgen Inc.  2.000%  2/25/26 EUR         828      1,028
  Amgen Inc.  5.500%  12/7/26 GBP       1,400      2,287
  Amgen Inc.  4.000%  9/13/29 GBP       1,432      2,275
  Amphenol Technologies Holding GmbH  2.000%  10/8/28 EUR       2,000      2,552
  Aon plc  2.875%  5/14/26 EUR       1,082      1,391
  Apple Inc.  1.000% 11/10/22 EUR       1,289      1,511
  Apple Inc.  3.350%  1/10/24 AUD         120         94
71


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Apple Inc.  1.375%  1/17/24 EUR       1,146      1,372
  Apple Inc.  2.513%  8/19/24 CAD       9,958      8,244
  Apple Inc.  0.875%  5/24/25 EUR      13,430     15,984
  Apple Inc.  0.000% 11/15/25 EUR       2,960      3,420
  Apple Inc.  3.600%  6/10/26 AUD         600        481
  Apple Inc.  2.000%  9/17/27 EUR       2,253      2,873
  Apple Inc.  1.375%  5/24/29 EUR       8,241     10,218
  Apple Inc.  3.050%  7/31/29 GBP       1,023      1,572
  Apple Inc.  0.750%  2/25/30 CHF       1,750      1,989
  Apple Inc.  0.500% 11/15/31 EUR       1,826      2,106
  Apple Inc.  3.600%  7/31/42 GBP       1,227      2,254
  Aptiv plc  1.500%  3/10/25 EUR       3,825      4,588
  Archer-Daniels-Midland Co.  1.750%  6/23/23 EUR       3,182      3,802
  Archer-Daniels-Midland Co.  1.000%  9/12/25 EUR       4,964      5,930
  AT&T Inc.  2.500%  3/15/23 EUR         668        795
  AT&T Inc.  2.750%  5/19/23 EUR       3,134      3,788
  AT&T Inc.  1.050%   9/5/23 EUR         668        788
  AT&T Inc.  1.300%   9/5/23 EUR       4,873      5,760
  AT&T Inc.  1.950%  9/15/23 EUR         156        186
  AT&T Inc.  3.450%  9/19/23 AUD         140        109
  AT&T Inc.  2.400%  3/15/24 EUR       2,863      3,480
  AT&T Inc.  2.850%  5/25/24 CAD       2,000      1,657
  AT&T Inc.  4.000% 11/25/25 CAD       3,372      2,916
  AT&T Inc.  3.500% 12/17/25 EUR       1,527      1,995
  AT&T Inc.  4.100%  1/19/26 AUD         100         80
  AT&T Inc.  1.800%   9/5/26 EUR       1,209      1,486
  AT&T Inc.  2.900%  12/4/26 GBP       1,818      2,629
  AT&T Inc.  1.600%  5/19/28 EUR       1,273      1,557
  AT&T Inc.  4.600%  9/19/28 AUD       3,970      3,279
  AT&T Inc.  2.350%   9/5/29 EUR       3,459      4,447
  AT&T Inc.  0.800%   3/4/30 EUR       1,273      1,463
  AT&T Inc.  2.050%  5/19/32 EUR       2,500      3,148
  AT&T Inc.  3.550% 12/17/32 EUR       3,170      4,527
  AT&T Inc.  5.200% 11/18/33 GBP       3,834      6,769
  AT&T Inc.  3.375%  3/15/34 EUR         891      1,265
  AT&T Inc.  2.450%  3/15/35 EUR       1,622      2,090
  AT&T Inc.  3.150%   9/4/36 EUR       7,717     10,755
  AT&T Inc.  2.600%  5/19/38 EUR       3,637      4,763
  AT&T Inc.  1.800%  9/14/39 EUR       1,000      1,178
  AT&T Inc.  7.000%  4/30/40 GBP       2,350      5,271
  AT&T Inc.  4.250%   6/1/43 GBP       5,482      9,460
  AT&T Inc.  4.850%  5/25/47 CAD       1,473      1,295
  AT&T Inc.  5.100% 11/25/48 CAD       2,004      1,831
  Athene Global Funding  2.100%  9/24/25 CAD         891        716
  Athene Global Funding  1.750% 11/24/27 GBP       9,000     12,150
  Athene Global Funding  0.625%  1/12/28 EUR       5,000      5,704
  Athene Global Funding  2.470%   6/9/28 CAD       1,600      1,262
  Bank of America Corp.  0.750%  7/26/23 EUR       6,363      7,475
  Bank of America Corp.  3.301%  4/24/24 CAD       3,031      2,517
  Bank of America Corp.  1.379%   2/7/25 EUR      16,782     19,985
  Bank of America Corp.  1.375%  3/26/25 EUR         955      1,149
  Bank of America Corp.  2.932%  4/25/25 CAD       1,495      1,243
  Bank of America Corp.  2.300%  7/25/25 GBP       1,909      2,697
  Bank of America Corp.  3.407%  9/20/25 CAD       2,649      2,231
  Bank of America Corp.  3.515%  3/24/26 CAD         955        810
72


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Bank of America Corp.  0.808%   5/9/26 EUR       6,363      7,484
  Bank of America Corp.  4.250% 12/10/26 GBP       1,407      2,181
  Bank of America Corp.  1.776%   5/4/27 EUR       7,032      8,606
  Bank of America Corp.  1.978%  9/15/27 CAD       2,200      1,745
  Bank of America Corp.  0.583%  8/24/28 EUR       7,127      8,197
  Bank of America Corp.  3.648%  3/31/29 EUR       4,455      6,080
  Bank of America Corp.  2.598%   4/4/29 CAD       1,859      1,505
  Bank of America Corp.  1.667%   6/2/29 GBP       9,000     12,119
  Bank of America Corp.  0.694%  3/22/31 EUR       6,600      7,470
  Bank of America Corp.  0.654% 10/26/31 EUR      11,363     12,739
  Bank of America Corp.  1.102%  5/24/32 EUR       2,000      2,325
  Baxter International Inc.  1.300%  5/30/25 EUR       4,631      5,539
  Baxter International Inc.  1.300%  5/15/29 EUR       2,323      2,800
  Becton Dickinson and Co.  1.000% 12/15/22 EUR       2,772      3,244
  Becton Dickinson and Co.  0.034%  8/13/25 EUR       1,700      1,949
  Becton Dickinson and Co.  1.900% 12/15/26 EUR       3,760      4,649
  Becton Dickinson Euro Finance Sarl  0.632%   6/4/23 EUR       3,405      3,979
  Becton Dickinson Euro Finance Sarl  1.208%   6/4/26 EUR      12,578     15,045
  Becton Dickinson Euro Finance Sarl  0.334%  8/13/28 EUR         800        906
  Becton Dickinson Euro Finance Sarl  1.213%  2/12/36 EUR       3,000      3,412
  Becton Dickinson Euro Finance Sarl  1.336%  8/13/41 EUR         900      1,003
  Berkshire Hathaway Finance Corp.  2.375%  6/19/39 GBP       2,227      3,238
  Berkshire Hathaway Finance Corp.  2.625%  6/19/59 GBP       1,146      1,833
  Berkshire Hathaway Inc.  0.750%  3/16/23 EUR         319        373
  Berkshire Hathaway Inc.  1.300%  3/15/24 EUR       3,309      3,937
  Berkshire Hathaway Inc.  0.170%  9/13/24 JPY     480,000      4,193
  Berkshire Hathaway Inc.  1.125%  3/16/27 EUR       7,032      8,464
  Berkshire Hathaway Inc.  0.440%  9/13/29 JPY   1,750,000     15,322
  Berkshire Hathaway Inc.  0.437%  4/15/31 JPY     500,000      4,364
  Berkshire Hathaway Inc.  1.625%  3/16/35 EUR       1,909      2,381
  Berkshire Hathaway Inc.  0.500%  1/15/41 EUR         853        874
  Berkshire Hathaway Inc.  1.108%  9/13/49 JPY     260,000      2,093
  Berry Global Inc.  1.500%  1/15/27 EUR       1,000      1,191
  BlackRock Inc.  1.250%   5/6/25 EUR       2,084      2,511
  Blackstone Holdings Finance Co. LLC  1.000%  10/5/26 EUR         283        337
  Blackstone Holdings Finance Co. LLC  1.500%  4/10/29 EUR       3,950      4,832
  Booking Holdings Inc.  2.375%  9/23/24 EUR       1,273      1,561
  Booking Holdings Inc.  0.100%   3/8/25 EUR      11,626     13,406
  Booking Holdings Inc.  1.800%   3/3/27 EUR       3,226      3,995
  Booking Holdings Inc.  0.500%   3/8/28 EUR      11,052     12,762
  BorgWarner Inc.  1.000%  5/19/31 EUR       3,171      3,601
  Boston Scientific Corp.  0.625%  12/1/27 EUR       1,575      1,821
  Bristol-Myers Squibb Co.  1.000%  5/15/25 EUR         518        618
  Bristol-Myers Squibb Co.  1.750%  5/15/35 EUR       1,273      1,648
  Brown-Forman Corp.  1.200%   7/7/26 EUR         815        984
  Brown-Forman Corp.  2.600%   7/7/28 GBP       2,966      4,313
  Bunge Finance Europe BV  1.850%  6/16/23 EUR       4,954      5,874
  Capital One Financial Corp.  1.650%  6/12/29 EUR       3,739      4,504
  Celanese US Holdings LLC  2.125%   3/1/27 EUR       2,514      3,118
  Celanese US Holdings LLC  0.625%  9/10/28 EUR       1,000      1,137
  Chubb INA Holdings Inc.  0.300% 12/15/24 EUR         604        701
  Chubb INA Holdings Inc.  1.550%  3/15/28 EUR       2,915      3,580
  Chubb INA Holdings Inc.  0.875% 12/15/29 EUR       2,036      2,393
  Chubb INA Holdings Inc.  1.400%  6/15/31 EUR       1,527      1,855
  Chubb INA Holdings Inc.  2.500%  3/15/38 EUR       4,001      5,493
73


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Citigroup Inc.  2.750%  1/24/24 GBP       3,659      5,155
  Citigroup Inc.  2.375%  5/22/24 EUR         637        782
  Citigroup Inc.  1.750%  1/28/25 EUR       1,686      2,049
  Citigroup Inc.  4.090%   6/9/25 CAD         986        849
  Citigroup Inc.  2.400% 10/31/25 JPY   2,111,400     19,623
  Citigroup Inc.  1.500%  7/24/26 EUR       2,863      3,449
  Citigroup Inc.  2.125%  9/10/26 EUR       1,718      2,155
  Citigroup Inc.  1.750% 10/23/26 GBP       3,564      4,880
  Citigroup Inc.  2.800%  6/25/27 JPY      41,400        399
  Citigroup Inc.  0.500%  10/8/27 EUR       4,137      4,766
  Citigroup Inc.  1.250%  4/10/29 EUR         955      1,142
  Citigroup Inc.  4.500%   3/3/31 GBP         319        511
  Citigroup Inc.  6.800%  6/25/38 GBP       2,000      4,600
  Citigroup Inc.  7.375%   9/1/39 GBP         117        287
  Coca-Cola Co.  0.500%   3/8/24 EUR       1,846      2,166
  Coca-Cola Co.  3.250%  6/11/24 AUD         540        422
  Coca-Cola Co.  1.125%   3/9/27 EUR       4,168      5,035
  Coca-Cola Co.  0.125%   3/9/29 EUR       2,082      2,343
  Coca-Cola Co.  0.400%   5/6/30 EUR       3,831      4,358
  Coca-Cola Co.  1.250%   3/8/31 EUR       4,804      5,821
  Coca-Cola Co.  0.500%   3/9/33 EUR       2,135      2,373
  Coca-Cola Co.  0.375%  3/15/33 EUR       3,182      3,481
  Coca-Cola Co.  1.625%   3/9/35 EUR       1,798      2,267
  Coca-Cola Co.  0.950%   5/6/36 EUR       2,196      2,529
  Coca-Cola Co.  0.800%  3/15/40 EUR       2,028      2,226
  Colgate-Palmolive Co.  0.500%   3/6/26 EUR         604        710
  Colgate-Palmolive Co.  1.375%   3/6/34 EUR         828      1,027
  Colgate-Palmolive Co.  0.875% 11/12/39 EUR         117        137
  Comcast Corp.  0.010%  9/14/26 EUR       1,200      1,369
  Comcast Corp.  1.500%  2/20/29 GBP       2,164      2,917
  Comcast Corp.  0.250%  9/14/29 EUR       2,900      3,265
  Comcast Corp.  5.500% 11/23/29 GBP       1,273      2,228
  Comcast Corp.  1.875%  2/20/36 GBP       2,354      3,171
  Comcast Corp.  1.250%  2/20/40 EUR       3,298      3,874
  Corning Inc.  0.992%  8/10/27 JPY     540,000      4,744
  CyrusOne LP / CyrusOne Finance Corp.  1.450%  1/22/27 EUR       1,514      1,757
  Danaher Corp.  1.700%  3/30/24 EUR         117        141
  Danaher Corp.  2.500%  3/30/30 EUR       3,659      4,834
  DH Europe Finance II Sarl  0.200%  3/18/26 EUR       4,868      5,606
  DH Europe Finance II Sarl  0.450%  3/18/28 EUR       1,050      1,206
  DH Europe Finance II Sarl  0.750%  9/18/31 EUR       2,387      2,732
  DH Europe Finance II Sarl  1.350%  9/18/39 EUR       3,437      4,028
  DH Europe Finance II Sarl  1.800%  9/18/49 EUR       1,909      2,380
  Digital Dutch Finco BV  1.250%   2/1/31 EUR       6,530      7,552
  Digital Euro Finco LLC  2.625%  4/15/24 EUR       1,622      1,985
  Digital Euro Finco LLC  1.125%   4/9/28 EUR       8,273      9,698
  Digital Stout Holding LLC  4.250%  1/17/25 GBP         700      1,039
  Digital Stout Holding LLC  3.300%  7/19/29 GBP       2,212      3,263
  Digital Stout Holding LLC  3.750% 10/17/30 GBP       1,273      1,948
  Discovery Communications LLC  2.500%  9/20/24 GBP       2,387      3,356
  Discovery Communications LLC  1.900%  3/19/27 EUR       6,372      7,762
  Dover Corp.  1.250%  11/9/26 EUR       6,268      7,537
  Dow Chemical Co.  0.500%  3/15/27 EUR       5,696      6,564
  Dow Chemical Co.  1.125%  3/15/32 EUR       4,000      4,621
  Dow Chemical Co.  1.875%  3/15/40 EUR       1,177      1,446
74


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
2 DXC Capital Funding DAC  0.450%  9/15/27 EUR       2,000      2,258
2 DXC Capital Funding DAC  0.950%  9/15/31 EUR       4,000      4,458
  DXC Technology Co.  1.750%  1/15/26 EUR       5,486      6,647
  Eastman Chemical Co.  1.500%  5/26/23 EUR       3,182      3,752
  Eastman Chemical Co.  1.875% 11/23/26 EUR       3,405      4,204
  Eaton Capital Unlimited Co.  0.697%  5/14/25 EUR       6,000      7,066
  Ecolab Inc.  1.000%  1/15/24 EUR       2,425      2,864
  Eli Lilly & Co.  2.125%   6/3/30 EUR       2,578      3,374
  Eli Lilly & Co.  1.700%  11/1/49 EUR       1,973      2,610
  Emerson Electric Co.  0.375%  5/22/24 EUR         652        760
  Emerson Electric Co.  1.250% 10/15/25 EUR       2,637      3,167
  Emerson Electric Co.  2.000% 10/15/29 EUR         637        814
  Euronet Worldwide Inc.  1.375%  5/22/26 EUR       2,005      2,352
  Exxon Mobil Corp.  0.142%  6/26/24 EUR       8,396      9,749
  Exxon Mobil Corp.  0.835%  6/26/32 EUR       3,182      3,586
  Exxon Mobil Corp.  1.408%  6/26/39 EUR       4,437      5,005
  FedEx Corp.  1.625%  1/11/27 EUR       2,227      2,725
  FedEx Corp.  1.300%   8/5/31 EUR         732        865
  FedEx Corp.  0.950%   5/4/33 EUR       5,857      6,494
  Fidelity National Information Services Inc.  0.125%  12/3/22 EUR         477        553
  Fidelity National Information Services Inc.  0.750%  5/21/23 EUR       2,633      3,081
  Fidelity National Information Services Inc.  1.100%  7/15/24 EUR       4,530      5,366
  Fidelity National Information Services Inc.  0.625%  12/3/25 EUR       2,000      2,340
  Fidelity National Information Services Inc.  1.500%  5/21/27 EUR       9,202     11,129
  Fidelity National Information Services Inc.  1.000%  12/3/28 EUR       3,245      3,806
  Fidelity National Information Services Inc.  2.250%  12/3/29 GBP         683        954
  Fidelity National Information Services Inc.  2.000%  5/21/30 EUR       1,200      1,505
  Fidelity National Information Services Inc.  3.360%  5/21/31 GBP       2,026      3,065
  Fidelity National Information Services Inc.  2.950%  5/21/39 EUR       1,175      1,662
  Fiserv Inc.  0.375%   7/1/23 EUR       2,319      2,700
  Fiserv Inc.  2.250%   7/1/25 GBP         668        940
  Fiserv Inc.  1.125%   7/1/27 EUR       1,527      1,820
  Fiserv Inc.  1.625%   7/1/30 EUR       2,196      2,678
  GE Capital Canada Funding Co.  5.730% 10/22/37 CAD         477        455
  GE Capital European Funding Unlimited Co.  4.625%  2/22/27 EUR         950      1,333
  GE Capital European Funding Unlimited Co.  6.025%   3/1/38 EUR       1,751      3,330
  GE Capital UK Funding Unlimited Co.  5.875%  1/18/33 GBP       3,444      6,318
  GE Capital UK Funding Unlimited Co.  6.250%   5/5/38 GBP         934      1,925
  GE Capital UK Funding Unlimited Co.  8.000%  1/14/39 GBP       1,350      3,252
  General Electric Co.  0.875%  5/17/25 EUR       3,925      4,631
  General Electric Co.  1.875%  5/28/27 EUR       1,500      1,859
  General Electric Co.  5.250%  12/7/28 GBP       1,500      2,492
  General Electric Co.  1.500%  5/17/29 EUR       7,941      9,614
  General Electric Co.  4.125%  9/19/35 EUR       1,686      2,588
  General Electric Co.  2.125%  5/17/37 EUR       3,946      4,950
  General Electric Co.  4.875%  9/18/37 GBP       2,302      3,903
  General Mills Inc.  1.000%  4/27/23 EUR       4,455      5,225
  General Mills Inc.  0.450%  1/15/26 EUR       1,050      1,224
  General Mills Inc.  1.500%  4/27/27 EUR         637        781
  General Motors Financial Co. Inc.  3.850%  2/21/23 AUD       1,100        852
  General Motors Financial Co. Inc.  2.200%   4/1/24 EUR       1,892      2,293
  General Motors Financial Co. Inc.  2.250%   9/6/24 GBP         286        398
  General Motors Financial Co. Inc.  0.850%  2/26/26 EUR       3,182      3,713
  General Motors Financial Co. Inc.  0.650%   9/7/28 EUR       2,000      2,255
  General Motors Financial of Canada Ltd.  3.250%  11/7/23 CAD       1,432      1,190
75


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  General Motors Financial of Canada Ltd.  5.950%  5/14/24 CAD       1,591      1,410
  General Motors Financial of Canada Ltd.  1.700%   7/9/25 CAD       2,000      1,586
  General Motors Financial of Canada Ltd.  1.750%  4/15/26 CAD       1,300      1,021
  Goldman Sachs Group Inc.  3.250%   2/1/23 EUR       4,391      5,294
  Goldman Sachs Group Inc.  2.000%  7/27/23 EUR       3,903      4,677
  Goldman Sachs Group Inc.  1.375%  5/15/24 EUR      10,573     12,479
  Goldman Sachs Group Inc.  2.125%  9/30/24 EUR       2,908      3,552
  Goldman Sachs Group Inc.  3.375%  3/27/25 EUR       1,591      2,031
  Goldman Sachs Group Inc.  1.250%   5/1/25 EUR      12,299     14,594
  Goldman Sachs Group Inc.  7.125%   8/7/25 GBP       1,188      1,948
  Goldman Sachs Group Inc.  3.307% 10/31/25 CAD         154        129
  Goldman Sachs Group Inc.  4.250%  1/29/26 GBP       5,727      8,646
  Goldman Sachs Group Inc.  2.875%   6/3/26 EUR       1,591      2,050
  Goldman Sachs Group Inc.  1.625%  7/27/26 EUR         863      1,052
  Goldman Sachs Group Inc.  1.500%  12/7/27 GBP       6,000      8,011
  Goldman Sachs Group Inc.  0.250%  1/26/28 EUR       9,530     10,653
  Goldman Sachs Group Inc.  2.000%  3/22/28 EUR       2,259      2,811
  Goldman Sachs Group Inc.  7.250%  4/10/28 GBP         136        246
  Goldman Sachs Group Inc.  2.000%  11/1/28 EUR       3,245      4,053
  Goldman Sachs Group Inc.  2.013%  2/28/29 CAD       3,101      2,422
  Goldman Sachs Group Inc.  3.125%  7/25/29 GBP       2,227      3,292
  Goldman Sachs Group Inc.  1.000%  3/18/33 EUR       8,000      9,055
  Goldman Sachs Group Inc.  6.875%  1/18/38 GBP         306        645
  Harley-Davidson Financial Services Inc.  3.875%  5/19/23 EUR       1,951      2,388
  HCN Canadian Holdings-1 LP  2.950%  1/15/27 CAD         573        470
  Honeywell International Inc.  1.300%  2/22/23 EUR       5,141      6,064
  Honeywell International Inc.  0.000%  3/10/24 EUR       5,000      5,792
  Honeywell International Inc.  2.250%  2/22/28 EUR       5,711      7,335
  Honeywell International Inc.  0.750%  3/10/32 EUR       3,000      3,450
  Illinois Tool Works Inc.  1.250%  5/22/23 EUR         986      1,161
  Illinois Tool Works Inc.  0.250%  12/5/24 EUR       1,495      1,740
  Illinois Tool Works Inc.  0.625%  12/5/27 EUR       1,751      2,053
  Illinois Tool Works Inc.  2.125%  5/22/30 EUR       3,723      4,850
  Illinois Tool Works Inc.  1.000%   6/5/31 EUR       1,973      2,349
  Intel Corp.  4.000%  12/1/22 AUD       2,250      1,751
  International Business Machines Corp.  0.375%  1/31/23 EUR       3,087      3,597
  International Business Machines Corp.  0.875%  1/31/25 EUR         955      1,133
  International Business Machines Corp.  0.950%  5/23/25 EUR       5,854      6,956
  International Business Machines Corp.  2.875%  11/7/25 EUR       1,304      1,675
  International Business Machines Corp.  1.250%  1/29/27 EUR       2,522      3,048
  International Business Machines Corp.  0.300%  2/11/28 EUR       2,387      2,731
  International Business Machines Corp.  1.750%  1/31/31 EUR       2,991      3,768
  International Business Machines Corp.  1.200%  2/11/40 EUR       1,718      2,043
  International Flavors & Fragrances Inc.  1.800%  9/25/26 EUR       3,309      4,054
  John Deere Canada Funding Inc.  2.700%  1/17/23 CAD         513        423
  John Deere Cash Management Sarl  0.500%  9/15/23 EUR         700        821
  John Deere Cash Management Sarl  2.200%   4/2/32 EUR       3,182      4,254
  John Deere Cash Management Sarl  1.650%  6/13/39 EUR       1,591      2,092
  John Deere Financial Inc.  2.460%   4/4/24 CAD       2,000      1,649
  John Deere Financial Inc.  2.410%  1/14/25 CAD       2,000      1,645
  John Deere Financial Inc.  1.630%   4/9/26 CAD       2,000      1,587
  John Deere Financial Inc.  2.580% 10/16/26 CAD         604        498
  John Deere Financial Inc.  1.340%   9/8/27 CAD       2,514      1,928
  Johnson & Johnson  0.250%  1/20/22 EUR         859        994
  Johnson & Johnson  0.650%  5/20/24 EUR       3,245      3,828
76


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Johnson & Johnson  1.150% 11/20/28 EUR         382        469
  Johnson Controls International plc  1.000%  9/15/23 EUR         955      1,125
  Johnson Controls International plc  1.375%  2/25/25 EUR       5,080      6,089
  Johnson Controls International plc / Tyco Fire & Security Finance SCA  0.375%  9/15/27 EUR       1,585      1,817
  Johnson Controls International plc / Tyco Fire & Security Finance SCA  1.000%  9/15/32 EUR       1,146      1,326
  JPMorgan Chase & Co.  0.500%  12/4/23 CHF      13,555     15,016
  JPMorgan Chase & Co.  1.500%  1/27/25 EUR       2,545      3,079
  JPMorgan Chase & Co.  3.000%  2/19/26 EUR       1,782      2,309
  JPMorgan Chase & Co.  0.991%  4/28/26 GBP       5,000      6,716
  JPMorgan Chase & Co.  3.500% 12/18/26 GBP       1,591      2,392
  JPMorgan Chase & Co.  1.090%  3/11/27 EUR      29,505     35,002
  JPMorgan Chase & Co.  0.389%  2/24/28 EUR       8,624      9,865
  JPMorgan Chase & Co.  1.896%   3/5/28 CAD       6,500      5,117
  JPMorgan Chase & Co.  1.638%  5/18/28 EUR       1,325      1,618
  JPMorgan Chase & Co.  1.001%  7/25/31 EUR       7,178      8,345
  JPMorgan Chase & Co.  1.047%  11/4/32 EUR       3,224      3,738
  JPMorgan Chase & Co.  0.597%  2/17/33 EUR       5,000      5,540
  JPMorgan Chase & Co.  1.895%  4/28/33 GBP       3,000      4,048
  Kellogg Co.  1.250%  3/10/25 EUR       1,622      1,940
  Kinder Morgan Inc.  2.250%  3/16/27 EUR       2,248      2,837
  KKR Group Finance Co. V LLC  1.625%  5/22/29 EUR       3,182      3,891
2 KKR Group Finance Co. V LLC  1.625%  5/22/29 EUR         955      1,168
  Liberty Mutual Group Inc.  2.750%   5/4/26 EUR       4,455      5,649
  LYB International Finance II BV  0.875%  9/17/26 EUR       2,863      3,376
  Mastercard Inc.  1.100%  12/1/22 EUR       4,088      4,784
  Mastercard Inc.  2.100%  12/1/27 EUR       2,592      3,309
  McDonald's Corp.  2.000%   6/1/23 EUR         200        239
  McDonald's Corp.  1.000% 11/15/23 EUR       5,500      6,505
  McDonald's Corp.  0.625%  1/29/24 EUR       4,000      4,697
  McDonald's Corp.  3.000%   3/8/24 AUD       6,900      5,329
  McDonald's Corp.  3.125%   3/4/25 CAD       5,182      4,371
  McDonald's Corp.  1.750%   5/3/28 EUR         500        623
  McDonald's Corp.  1.500% 11/28/29 EUR       5,300      6,504
  McDonald's Corp.  4.125%  6/11/54 GBP         200        399
  McKesson Corp.  1.500% 11/17/25 EUR       4,009      4,859
  McKesson Corp.  1.625% 10/30/26 EUR       3,245      3,978
  McKesson Corp.  3.125%  2/17/29 GBP         289        424
  Medtronic Global Holdings SCA  0.375%   3/7/23 EUR       5,177      6,033
  Medtronic Global Holdings SCA  0.250%   7/2/25 EUR         923      1,073
  Medtronic Global Holdings SCA  0.000% 10/15/25 EUR      10,000     11,495
  Medtronic Global Holdings SCA  1.125%   3/7/27 EUR       6,000      7,222
  Medtronic Global Holdings SCA  0.375% 10/15/28 EUR       2,259      2,595
  Medtronic Global Holdings SCA  1.625%   3/7/31 EUR       2,578      3,217
  Medtronic Global Holdings SCA  1.000%   7/2/31 EUR         891      1,052
  Medtronic Global Holdings SCA  0.750% 10/15/32 EUR       3,182      3,637
  Medtronic Global Holdings SCA  2.250%   3/7/39 EUR         986      1,324
  Medtronic Global Holdings SCA  1.500%   7/2/39 EUR       3,245      3,912
  Medtronic Global Holdings SCA  1.375% 10/15/40 EUR       6,527      7,655
  Medtronic Global Holdings SCA  1.750%   7/2/49 EUR       4,868      5,994
  Medtronic Global Holdings SCA  1.625% 10/15/50 EUR       2,991      3,614
  Merck & Co. Inc.  0.500%  11/2/24 EUR       3,157      3,707
  Merck & Co. Inc.  1.875% 10/15/26 EUR       1,050      1,315
  Merck & Co. Inc.  2.500% 10/15/34 EUR       1,674      2,367
  Merck & Co. Inc.  1.375%  11/2/36 EUR         764        960
77


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  MetLife Inc.  5.375%  12/9/24 GBP       1,384      2,123
  MetLife Inc.  0.769%  5/23/29 JPY     440,000      3,896
  Metropolitan Life Global Funding I  2.625%  12/5/22 GBP         684        954
  Metropolitan Life Global Funding I  2.375%  1/11/23 EUR         117        140
  Metropolitan Life Global Funding I  0.375%   4/9/24 EUR       1,591      1,860
  Metropolitan Life Global Funding I  4.000%  7/13/27 AUD         859        688
  Metropolitan Life Global Funding I  0.625%  12/8/27 GBP       3,071      3,983
  Metropolitan Life Global Funding I  1.950%  3/20/28 CAD       2,195      1,727
  Metropolitan Life Global Funding I  3.394%   4/9/30 CAD       2,891      2,471
  Microsoft Corp.  3.125%  12/6/28 EUR       1,800      2,515
  Microsoft Corp.  2.625%   5/2/33 EUR       2,273      3,250
  Mohawk Capital Finance SA  1.750%  6/12/27 EUR         900      1,106
  Molson Coors Beverage Co.  1.250%  7/15/24 EUR       2,800      3,321
  Molson Coors International LP  2.840%  7/15/23 CAD       1,591      1,309
  Molson Coors International LP  3.440%  7/15/26 CAD         907        767
2 Mondelez International Holdings Netherlands BV  0.000%  9/22/26 EUR       3,023      3,437
2 Mondelez International Holdings Netherlands BV  0.250%   9/9/29 EUR       3,400      3,818
2 Mondelez International Holdings Netherlands BV  1.250%   9/9/41 EUR         900      1,004
  Mondelez International Inc.  3.250%   3/7/25 CAD       1,023        861
  Mondelez International Inc.  1.625%   3/8/27 EUR       3,775      4,631
  Mondelez International Inc.  0.250%  3/17/28 EUR       8,000      9,060
  Mondelez International Inc.  0.750%  3/17/33 EUR      10,000     11,091
  Mondelez International Inc.  2.375%   3/6/35 EUR         370        484
  Moody's Corp.  1.750%   3/9/27 EUR         958      1,188
  Moody's Corp.  0.950%  2/25/30 EUR       1,909      2,254
  Morgan Stanley  1.000%  12/2/22 EUR       9,320     10,928
  Morgan Stanley  1.875%  3/30/23 EUR         955      1,136
  Morgan Stanley  3.000%   2/7/24 CAD       3,178      2,650
  Morgan Stanley  0.637%  7/26/24 EUR       6,427      7,522
  Morgan Stanley  1.750%  1/30/25 EUR       3,914      4,757
  Morgan Stanley  1.342% 10/23/26 EUR       4,295      5,162
  Morgan Stanley  2.625%   3/9/27 GBP       2,780      3,975
  Morgan Stanley  1.875%  4/27/27 EUR       1,894      2,348
  Morgan Stanley  1.779%   8/4/27 CAD       2,000      1,573
  Morgan Stanley  0.406% 10/29/27 EUR       6,497      7,444
  Morgan Stanley  0.495% 10/26/29 EUR      10,363     11,705
  Morgan Stanley  0.497%   2/7/31 EUR       7,395      8,242
  Nasdaq Inc.  1.750%  3/28/29 EUR       3,023      3,744
  Nasdaq Inc.  0.875%  2/13/30 EUR       1,956      2,269
  Nasdaq Inc.  0.900%  7/30/33 EUR       1,700      1,903
  Nestle Holdings Inc.  0.875%  7/18/25 EUR       4,000      4,760
  New York Life Global Funding  0.250%  1/23/27 EUR       3,182      3,666
  New York Life Global Funding  2.000%  4/17/28 CAD       4,200      3,337
  New York Life Global Funding  0.750% 12/14/28 GBP       2,000      2,599
  NextEra Energy Capital Holdings Inc.  2.200%  12/2/26 AUD       1,430      1,039
  Omnicom Finance Holdings plc  0.800%   7/8/27 EUR       1,209      1,427
  Omnicom Finance Holdings plc  1.400%   7/8/31 EUR       1,432      1,749
  Oracle Corp.  3.125%  7/10/25 EUR         319        410
  Paccar Financial Ltd.  0.985%  5/14/24 CAD       2,000      1,588
  Parker-Hannifin Corp.  1.125%   3/1/25 EUR       3,870      4,587
  PepsiCo Inc.  0.250%   5/6/24 EUR       2,005      2,340
  PepsiCo Inc.  2.150%   5/6/24 CAD       1,018        834
  PepsiCo Inc.  0.750%  3/18/27 EUR         637        756
78


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  PepsiCo Inc.  0.500%   5/6/28 EUR       3,755      4,387
  PepsiCo Inc.  0.875%  7/18/28 EUR       1,146      1,368
  PepsiCo Inc.  1.125%  3/18/31 EUR         604        728
  PepsiCo Inc.  0.400%  10/9/32 EUR       4,089      4,551
  PepsiCo Inc.  0.750% 10/14/33 EUR       2,271      2,599
  PepsiCo Inc.  0.875% 10/16/39 EUR       3,150      3,611
  PepsiCo Inc.  1.050%  10/9/50 EUR       2,700      3,100
  PerkinElmer Inc.  1.875%  7/19/26 EUR       1,464      1,798
  Pfizer Inc.  0.250%   3/6/22 EUR       4,041      4,679
  Pfizer Inc.  1.000%   3/6/27 EUR       1,082      1,300
  Pfizer Inc.  2.735%  6/15/43 GBP       3,586      5,557
  Philip Morris International Inc.  0.625%  11/8/24 EUR         446        522
  Philip Morris International Inc.  2.875%  5/14/29 EUR         795      1,055
  Philip Morris International Inc.  0.800%   8/1/31 EUR       2,863      3,193
  Philip Morris International Inc.  3.125%   6/3/33 EUR         319        438
  Philip Morris International Inc.  2.000%   5/9/36 EUR       2,545      3,038
  Philip Morris International Inc.  1.875%  11/6/37 EUR       1,718      2,013
  Philip Morris International Inc.  1.450%   8/1/39 EUR       1,973      2,156
  PPG Industries Inc.  0.875%  11/3/25 EUR         828        982
  Praxair Inc.  1.200%  2/12/24 EUR       2,545      3,037
  Praxair Inc.  1.625%  12/1/25 EUR       6,539      8,065
  Procter & Gamble Co.  1.125%  11/2/23 EUR       3,697      4,394
  Procter & Gamble Co.  0.500% 10/25/24 EUR         955      1,124
  Procter & Gamble Co.  0.625% 10/30/24 EUR       1,304      1,539
  Procter & Gamble Co.  1.375%   5/3/25 GBP       3,118      4,310
  Procter & Gamble Co.  1.200% 10/30/28 EUR       1,495      1,835
  Procter & Gamble Co.  1.800%   5/3/29 GBP       4,018      5,683
  Procter & Gamble Co.  1.250% 10/25/29 EUR       2,227      2,746
  Procter & Gamble Co.  1.875% 10/30/38 EUR         764      1,041
  Prologis Euro Finance LLC  0.250%  9/10/27 EUR       5,409      6,194
  Prologis Euro Finance LLC  0.375%   2/6/28 EUR       2,227      2,562
  Prologis Euro Finance LLC  1.875%   1/5/29 EUR         337        423
  Prologis Euro Finance LLC  0.625%  9/10/31 EUR       1,925      2,162
  Prologis Euro Finance LLC  0.500%  2/16/32 EUR       1,576      1,741
  Prologis Euro Finance LLC  1.000%   2/6/35 EUR       1,050      1,188
  Prologis Euro Finance LLC  1.000%  2/16/41 EUR       2,704      2,949
  Prologis Euro Finance LLC  1.500%  9/10/49 EUR       1,464      1,676
  Prologis LP  3.000%   6/2/26 EUR         509        662
  Prologis LP  2.250%  6/30/29 GBP       1,374      1,962
  Public Storage  0.500%   9/9/30 EUR       4,100      4,592
  Public Storage  0.875%  1/24/32 EUR       2,132      2,419
  Raytheon Technologies Corp.  2.150%  5/18/30 EUR       1,530      1,944
  Realty Income Corp.  1.125%  7/13/27 GBP       4,800      6,378
  Realty Income Corp.  1.625% 12/15/30 GBP       2,000      2,670
  Realty Income Corp.  1.750%  7/13/33 GBP       2,500      3,330
  Schlumberger Finance BV  0.250% 10/15/27 EUR       3,182      3,640
  Schlumberger Finance BV  0.500% 10/15/31 EUR       3,182      3,570
  Schlumberger Finance BV  2.000%   5/6/32 EUR       2,000      2,564
  Schlumberger Finance France SAS  1.000%  2/18/26 EUR       1,082      1,291
  Schneider Electric SE  0.250%   9/9/24 EUR       3,200      3,735
  Schneider Electric SE  0.875%  3/11/25 EUR       1,100      1,308
  Schneider Electric SE  1.375%  6/21/27 EUR       5,000      6,142
  Schneider Electric SE  1.500%  1/15/28 EUR       3,500      4,350
  Schneider Electric SE  0.250%  3/11/29 EUR       4,800      5,517
  Simon International Finance SCA  1.125%  3/19/33 EUR       6,000      6,833
79


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Southern Co.  1.875%  9/15/81 EUR       2,000      2,258
  Southern Power Co.  1.850%  6/20/26 EUR       3,405      4,202
  Stellantis NV  3.375%   7/7/23 EUR       5,000      6,063
  Stellantis NV  2.000%  3/20/25 EUR       1,200      1,459
  Stellantis NV  3.875%   1/5/26 EUR       5,409      7,076
  Stellantis NV  2.750%  5/15/26 EUR       3,000      3,798
  Stellantis NV  4.500%   7/7/28 EUR       7,252     10,265
  Stellantis NV  1.125%  9/18/29 EUR       4,000      4,641
  Stellantis NV  1.250%  6/20/33 EUR       4,500      5,049
  Stryker Corp.  1.125% 11/30/23 EUR         732        868
  Stryker Corp.  0.250%  12/3/24 EUR       1,209      1,404
  Stryker Corp.  2.125% 11/30/27 EUR         604        763
  Stryker Corp.  2.625% 11/30/30 EUR         668        890
  Stryker Corp.  1.000%  12/3/31 EUR       3,501      4,098
  Swiss Re Finance UK plc  2.714%   6/4/52 EUR       2,000      2,493
  Sysco Canada Inc.  3.650%  4/25/25 CAD         815        691
  Thermo Fisher Scientific Finance I BV  0.800% 10/18/30 EUR       4,406      5,087
  Thermo Fisher Scientific Finance I BV  1.125% 10/18/33 EUR       2,462      2,857
  Thermo Fisher Scientific Inc.  0.750%  9/12/24 EUR       1,490      1,756
  Thermo Fisher Scientific Inc.  0.125%   3/1/25 EUR       2,036      2,351
  Thermo Fisher Scientific Inc.  2.000%  4/15/25 EUR       1,909      2,339
  Thermo Fisher Scientific Inc.  1.400%  1/23/26 EUR       5,235      6,320
  Thermo Fisher Scientific Inc.  1.750%  4/15/27 EUR         955      1,180
  Thermo Fisher Scientific Inc.  0.500%   3/1/28 EUR         986      1,136
  Thermo Fisher Scientific Inc.  1.375%  9/12/28 EUR         319        386
  Thermo Fisher Scientific Inc.  2.875%  7/24/37 EUR       2,107      2,962
  Thermo Fisher Scientific Inc.  1.500%  10/1/39 EUR       1,273      1,500
  Thermo Fisher Scientific Inc.  1.875%  10/1/49 EUR       3,468      4,241
  Time Warner Cable LLC  5.250%  7/15/42 GBP       1,878      3,438
  Toyota Motor Credit Corp.  0.750% 11/19/26 GBP       3,100      4,084
  Toyota Motor Credit Corp.  0.125%  11/5/27 EUR       9,000     10,227
  Trillium Windpower LP  5.803%  2/15/33 CAD         128        118
  TWDC Enterprises 18 Corp.  2.758%  10/7/24 CAD       3,285      2,730
  Tyco Electronics Group SA  1.100%   3/1/23 EUR       1,186      1,391
  Tyco Electronics Group SA  0.000%  2/14/25 EUR       2,005      2,314
  Tyco Electronics Group SA  0.000%  2/16/29 EUR       1,132      1,257
  United Parcel Service Inc.  0.375% 11/15/23 EUR       2,354      2,751
  United Parcel Service Inc.  2.125%  5/21/24 CAD       4,227      3,458
  United Parcel Service Inc.  1.625% 11/15/25 EUR       3,786      4,633
  United Parcel Service Inc.  1.500% 11/15/32 EUR       1,050      1,306
  United Parcel Service Inc.  5.125%  2/12/50 GBP         200        458
  Upjohn Finance BV  1.023%  6/23/24 EUR       3,000      3,546
  Upjohn Finance BV  1.362%  6/23/27 EUR       5,545      6,599
  Upjohn Finance BV  1.908%  6/23/32 EUR       6,545      7,846
  US Bancorp  0.850%   6/7/24 EUR       4,723      5,580
  Utah Acquisition Sub Inc.  2.250% 11/22/24 EUR       5,000      6,109
  Utah Acquisition Sub Inc.  3.125% 11/22/28 EUR         376        494
  Ventas Canada Finance Ltd.  2.550%  3/15/23 CAD       2,764      2,263
  Ventas Canada Finance Ltd.  2.800%  4/12/24 CAD       3,050      2,518
  Ventas Canada Finance Ltd.  4.125%  9/30/24 CAD         382        326
  Verizon Communications Inc.  3.500%  2/17/23 AUD       2,040      1,580
  Verizon Communications Inc.  4.073%  6/18/24 GBP         955      1,406
  Verizon Communications Inc.  4.050%  2/17/25 AUD         500        399
  Verizon Communications Inc.  0.875%   4/2/25 EUR       1,559      1,846
  Verizon Communications Inc.  3.250%  2/17/26 EUR         828      1,083
80


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Verizon Communications Inc.  1.375% 10/27/26 EUR       5,827      7,075
  Verizon Communications Inc.  0.875%   4/8/27 EUR       7,878      9,313
  Verizon Communications Inc.  4.500%  8/17/27 AUD       4,830      3,959
  Verizon Communications Inc.  1.375%  11/2/28 EUR       5,118      6,240
  Verizon Communications Inc.  1.125%  11/3/28 GBP      10,060     13,144
  Verizon Communications Inc.  0.375%  3/22/29 EUR       9,417     10,650
  Verizon Communications Inc.  1.875% 10/26/29 EUR         409        516
  Verizon Communications Inc.  1.250%   4/8/30 EUR       3,182      3,813
  Verizon Communications Inc.  2.500%  5/16/30 CAD       1,772      1,406
  Verizon Communications Inc.  1.875%  9/19/30 GBP       2,009      2,728
  Verizon Communications Inc.  2.500%   4/8/31 GBP         258        366
  Verizon Communications Inc.  2.625%  12/1/31 EUR         800      1,071
  Verizon Communications Inc.  0.875%  3/19/32 EUR       3,000      3,423
  Verizon Communications Inc.  0.750%  3/22/32 EUR       2,530      2,847
  Verizon Communications Inc.  1.300%  5/18/33 EUR       3,389      3,985
  Verizon Communications Inc.  1.125%  9/19/35 EUR       3,727      4,247
  Verizon Communications Inc.  3.125%  11/2/35 GBP       1,132      1,725
  Verizon Communications Inc.  3.375% 10/27/36 GBP       1,607      2,522
  Verizon Communications Inc.  2.875%  1/15/38 EUR       2,950      4,146
  Verizon Communications Inc.  1.875%  11/3/38 GBP       1,909      2,475
  Verizon Communications Inc.  1.500%  9/19/39 EUR       1,940      2,285
  Verizon Communications Inc.  1.850%  5/18/40 EUR         200        248
  Verizon Communications Inc.  3.625%  5/16/50 CAD       3,605      2,770
  Verizon Communications Inc.  4.050%  3/22/51 CAD         581        481
  VF Corp.  0.625%  9/20/23 EUR       1,718      2,009
  VF Corp.  0.250%  2/25/28 EUR         477        542
  Walgreens Boots Alliance Inc.  3.600% 11/20/25 GBP         422        616
  Walmart Inc.  1.900%   4/8/22 EUR       2,705      3,140
  Walmart Inc.  2.550%   4/8/26 EUR         604        772
  Walmart Inc.  4.875%  9/21/29 EUR       3,421      5,293
  Walmart Inc.  5.625%  3/27/34 GBP       4,721      9,313
  Walmart Inc.  5.250%  9/28/35 GBP         319        627
  Walt Disney Co.  3.057%  3/30/27 CAD       4,846      4,046
  Waste Management of Canada Corp.  2.600%  9/23/26 CAD       1,256      1,034
  Wells Fargo & Co.  2.250%   5/2/23 EUR       5,187      6,210
  Wells Fargo & Co.  2.509% 10/27/23 CAD       3,503      2,886
  Wells Fargo & Co.  0.500%  11/2/23 CHF       6,365      7,020
  Wells Fargo & Co.  2.125% 12/20/23 GBP         156        216
  Wells Fargo & Co.  3.184%   2/8/24 CAD       1,591      1,326
  Wells Fargo & Co.  0.500%  4/26/24 EUR       3,277      3,827
  Wells Fargo & Co.  3.874%  5/21/25 CAD       1,400      1,195
  Wells Fargo & Co.  1.625%   6/2/25 EUR       1,591      1,925
  Wells Fargo & Co.  2.000%  7/28/25 GBP       8,718     12,087
  Wells Fargo & Co.  2.000%  4/27/26 EUR       6,363      7,843
  Wells Fargo & Co.  2.568%   5/1/26 CAD         900        739
  Wells Fargo & Co.  2.975%  5/19/26 CAD       3,214      2,671
  Wells Fargo & Co.  1.375% 10/26/26 EUR       4,232      5,086
  Wells Fargo & Co.  1.000%   2/2/27 EUR       4,718      5,552
  Wells Fargo & Co.  2.493%  2/18/27 CAD       2,649      2,142
  Wells Fargo & Co.  1.500%  5/24/27 EUR       6,363      7,677
  Wells Fargo & Co.  3.500%  9/12/29 GBP       1,378      2,080
  Wells Fargo & Co.  1.741%   5/4/30 EUR       3,182      3,874
  Wells Fargo & Co.  0.625%  8/14/30 EUR       2,545      2,857
  Wells Fargo & Co.  4.625%  11/2/35 GBP       1,306      2,291
  Wells Fargo Bank NA  5.250%   8/1/23 GBP       3,000      4,370
81


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Wells Fargo Canada Corp.  3.460%  1/24/23 CAD       5,251      4,372
  Welltower Inc.  4.800% 11/20/28 GBP       2,323      3,741
  Welltower Inc.  4.500%  12/1/34 GBP       1,527      2,553
  Whirlpool Finance Luxembourg Sarl  1.250%  11/2/26 EUR       3,405      4,102
  Whirlpool Finance Luxembourg Sarl  1.100%  11/9/27 EUR       1,146      1,366
  WPC Eurobond BV  2.250%  7/19/24 EUR       2,005      2,441
  WPC Eurobond BV  2.250%   4/9/26 EUR       1,304      1,611
  WPC Eurobond BV  2.125%  4/15/27 EUR       6,215      7,693
  WPC Eurobond BV  1.350%  4/15/28 EUR       2,863      3,377
  WPC Eurobond BV  0.950%   6/1/30 EUR         444        498
  Xylem Inc.  2.250%  3/11/23 EUR       1,209      1,435
  Zimmer Biomet Holdings Inc.  1.414% 12/13/22 EUR       1,878      2,208
                   2,130,393
Total Corporate Bonds (Cost $14,785,929)     14,156,167
Sovereign Bonds (78.2%)      
Australia (2.8%)                           
  Australian Capital Territory  4.000%  5/22/24 AUD       1,600      1,280
  Australian Capital Territory  1.250%  5/22/25 AUD         150        112
  Australian Capital Territory  2.500%  5/21/26 AUD         640        497
  Australian Capital Territory  2.250%  5/22/29 AUD       2,920      2,204
  Commonwealth of Australia  5.750%  7/15/22 AUD      28,438     22,202
  Commonwealth of Australia  2.250% 11/21/22 AUD      56,707     43,469
  Commonwealth of Australia  5.500%  4/21/23 AUD      32,022     25,806
  Commonwealth of Australia  2.750%  4/21/24 AUD      82,727     65,163
  Commonwealth of Australia  0.250% 11/21/24 AUD      77,268     56,443
  Commonwealth of Australia  3.250%  4/21/25 AUD      84,643     67,793
  Commonwealth of Australia  0.250% 11/21/25 AUD      57,709     41,343
  Commonwealth of Australia  4.250%  4/21/26 AUD      68,955     58,023
  Commonwealth of Australia  0.500%  9/21/26 AUD      60,849     43,498
  Commonwealth of Australia  4.750%  4/21/27 AUD      50,703     44,415
  Commonwealth of Australia  2.750% 11/21/27 AUD      48,682     38,902
  Commonwealth of Australia  2.250%  5/21/28 AUD      91,746     71,690
  Commonwealth of Australia  2.750% 11/21/28 AUD      73,137     58,505
  Commonwealth of Australia  3.250%  4/21/29 AUD     173,523    143,250
  Commonwealth of Australia  2.750% 11/21/29 AUD      84,551     68,282
  Commonwealth of Australia  2.500%  5/21/30 AUD      97,183     76,412
  Commonwealth of Australia  1.000% 12/21/30 AUD     100,811     70,348
  Commonwealth of Australia  1.500%  6/21/31 AUD      86,879     63,208
  Commonwealth of Australia  1.000% 11/21/31 AUD     100,319     68,264
  Commonwealth of Australia  1.250%  5/21/32 AUD      48,935     34,421
  Commonwealth of Australia  1.750% 11/21/32 AUD       9,000      6,528
  Commonwealth of Australia  4.500%  4/21/33 AUD      49,505     46,331
  Commonwealth of Australia  2.750%  6/21/35 AUD      29,707     23,590
  Commonwealth of Australia  3.750%  4/21/37 AUD      25,823     22,800
  Commonwealth of Australia  3.250%  6/21/39 AUD      18,598     15,377
  Commonwealth of Australia  2.750%  5/21/41 AUD      22,495     17,150
  Commonwealth of Australia  3.000%  3/21/47 AUD      50,050     39,418
  Commonwealth of Australia  1.750%  6/21/51 AUD      52,211     31,418
  National Housing Finance and Investment Corp.  2.380%  3/28/29 AUD         930        713
  New South Wales Treasury Corp.  4.000%  4/20/23 AUD      10,691      8,425
  New South Wales Treasury Corp.  1.000%   2/8/24 AUD       9,863      7,388
  New South Wales Treasury Corp.  5.000%  8/20/24 AUD      10,564      8,743
  New South Wales Treasury Corp.  1.250%  3/20/25 AUD      12,727      9,509
82


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  New South Wales Treasury Corp.  4.000%  5/20/26 AUD       3,054      2,529
  New South Wales Treasury Corp.  3.000%  5/20/27 AUD      41,674     33,285
  New South Wales Treasury Corp.  3.000%  3/20/28 AUD      28,137     22,474
  New South Wales Treasury Corp.  3.000% 11/15/28 AUD       6,363      5,094
  New South Wales Treasury Corp.  3.000%  4/20/29 AUD      14,519     11,588
  New South Wales Treasury Corp.  3.000%  2/20/30 AUD      34,806     27,795
  New South Wales Treasury Corp.  2.000%  3/20/31 AUD      16,530     12,119
  New South Wales Treasury Corp.  1.500%  2/20/32 AUD      10,000      6,904
  New South Wales Treasury Corp.  2.000%   3/8/33 AUD       7,030      5,016
  New South Wales Treasury Corp.  1.750%  3/20/34 AUD      10,000      6,801
  New South Wales Treasury Corp.  3.500%  3/20/34 AUD         136        113
  New South Wales Treasury Corp.  3.500% 11/20/37 AUD         900        735
  New South Wales Treasury Corp.  2.250% 11/20/40 AUD       4,773      3,149
  New South Wales Treasury Corp.  2.250%   5/7/41 AUD       2,500      1,642
  Northern Territory Treasury Corp.  2.750% 10/21/24 AUD       1,900      1,481
  Northern Territory Treasury Corp.  2.750%  4/21/27 AUD       5,100      4,001
  Northern Territory Treasury Corp.  3.500%  4/21/28 AUD         600        491
  Northern Territory Treasury Corp.  3.500%  5/21/30 AUD       1,000        823
  Northern Territory Treasury Corp.  2.000%  4/21/31 AUD       1,300        934
  Northern Territory Treasury Corp.  4.100% 11/21/42 AUD         500        409
2 Queensland Treasury Corp.  4.250%  7/21/23 AUD      16,132     12,817
2 Queensland Treasury Corp.  3.000%  3/22/24 AUD       4,295      3,377
  Queensland Treasury Corp.  5.750%  7/22/24 AUD      14,700     12,365
2 Queensland Treasury Corp.  4.750%  7/21/25 AUD      15,751     13,212
2 Queensland Treasury Corp.  3.250%  7/21/26 AUD      19,887     15,985
2 Queensland Treasury Corp.  2.750%  8/20/27 AUD      23,364     18,399
2 Queensland Treasury Corp.  3.250%  7/21/28 AUD      34,587     28,009
2 Queensland Treasury Corp.  3.250%  8/21/29 AUD      25,000     20,292
2 Queensland Treasury Corp.  3.500%  8/21/30 AUD      23,166     19,230
2 Queensland Treasury Corp.  1.250%  3/10/31 AUD      15,000     10,317
2 Queensland Treasury Corp.  1.750%  8/21/31 AUD       8,688      6,194
2 Queensland Treasury Corp.  1.500%  8/20/32 AUD      10,000      6,859
  Queensland Treasury Corp.  6.500%  3/14/33 AUD       2,641      2,781
2 Queensland Treasury Corp.  1.750%  7/20/34 AUD         795        541
2 Queensland Treasury Corp.  2.250%  4/16/40 AUD       4,773      3,214
2 Queensland Treasury Corp.  2.250% 11/20/41 AUD       4,709      3,110
2 Queensland Treasury Corp.  4.200%  2/20/47 AUD       3,901      3,509
  South Australian Government Financing Authority  4.250% 11/20/23 AUD       1,591      1,275
  South Australian Government Financing Authority  2.250%  8/15/24 AUD       5,569      4,289
  South Australian Government Financing Authority  2.750%  4/16/25 AUD       3,501      2,746
  South Australian Government Financing Authority  3.000%  7/20/26 AUD       2,625      2,087
  South Australian Government Financing Authority  3.000%  9/20/27 AUD         397        317
  South Australian Government Financing Authority  3.000%  5/24/28 AUD       3,404      2,717
  South Australian Government Financing Authority  2.750%  5/24/30 AUD      17,387     13,643
  South Australian Government Financing Authority  1.750%  5/24/32 AUD      10,848      7,644
  Tasmanian Public Finance Corp.  3.250%  2/19/26 AUD       3,053      2,440
  Tasmanian Public Finance Corp.  3.250%  1/24/28 AUD         477        384
  Treasury Corp. of Victoria  5.500% 12/17/24 AUD       4,455      3,770
83


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Treasury Corp. of Victoria  0.500% 11/20/25 AUD      12,000      8,626
  Treasury Corp. of Victoria  5.500% 11/17/26 AUD      16,545     14,710
  Treasury Corp. of Victoria  1.250% 11/19/27 AUD       3,059      2,217
  Treasury Corp. of Victoria  3.000% 10/20/28 AUD      29,425     23,443
  Treasury Corp. of Victoria  2.500% 10/22/29 AUD      20,619     15,876
  Treasury Corp. of Victoria  1.500% 11/20/30 AUD      20,195     14,200
  Treasury Corp. of Victoria  1.500%  9/10/31 AUD      26,363     18,368
  Treasury Corp. of Victoria  4.250% 12/20/32 AUD      28,751     25,501
  Treasury Corp. of Victoria  2.250% 11/20/34 AUD       6,773      4,868
  Treasury Corp. of Victoria  2.250% 11/20/41 AUD      12,030      7,849
  Western Australian Treasury Corp.  6.000% 10/16/23 AUD       3,182      2,627
  Western Australian Treasury Corp.  2.500%  7/23/24 AUD      15,273     11,830
  Western Australian Treasury Corp.  5.000%  7/23/25 AUD       4,932      4,171
  Western Australian Treasury Corp.  3.000% 10/21/26 AUD       7,903      6,299
  Western Australian Treasury Corp.  3.000% 10/21/27 AUD       3,182      2,547
  Western Australian Treasury Corp.  3.250%  7/20/28 AUD      19,132     15,503
  Western Australian Treasury Corp.  2.750%  7/24/29 AUD      15,501     12,182
  Western Australian Treasury Corp.  1.750% 10/22/31 AUD       9,832      7,011
                   1,969,654
Austria (1.1%)                           
  Autobahnen- und Schnell- strassen-Finanzierungs AG  0.250% 10/18/24 EUR      10,819     12,640
  Autobahnen- und Schnell- strassen-Finanzierungs AG  3.375%  9/22/25 EUR         637        834
  Autobahnen- und Schnell- strassen-Finanzierungs AG  0.100%   7/9/29 EUR       2,863      3,288
  Autobahnen- und Schnell- strassen-Finanzierungs AG  2.750%  6/20/33 EUR         382        559
  Autobahnen- und Schnell- strassen-Finanzierungs AG  0.100%  7/16/35 EUR         500        553
1 Oesterreichische Kontrollbank AG  2.625% 11/22/24 CHF       9,745     11,585
1 Oesterreichische Kontrollbank AG  3.200%  8/25/25 AUD         477        376
1 Oesterreichische Kontrollbank AG  0.000%  10/8/26 EUR       1,591      1,839
1 Oesterreichische Kontrollbank AG  2.875%  2/25/30 CHF       1,435      1,915
2 Republic of Austria  3.400% 11/22/22 EUR       9,641     11,607
2 Republic of Austria  0.000%  4/20/23 EUR      32,550     37,945
2 Republic of Austria  0.000%  7/15/23 EUR       8,297      9,686
2 Republic of Austria  1.750% 10/20/23 EUR      16,206     19,591
2 Republic of Austria  0.000%  7/15/24 EUR      22,273     26,085
2 Republic of Austria  1.650% 10/21/24 EUR       2,161      2,658
2 Republic of Austria  0.000%  4/20/25 EUR     138,936    162,740
2 Republic of Austria  0.750% 10/20/26 EUR      66,564     80,933
2 Republic of Austria  0.500%  4/20/27 EUR      13,045     15,675
2 Republic of Austria  0.750%  2/20/28 EUR       7,955      9,701
2 Republic of Austria  0.500%  2/20/29 EUR      48,643     58,350
2 Republic of Austria  0.000%  2/20/30 EUR       8,490      9,752
2 Republic of Austria  0.000%  2/20/31 EUR      53,307     60,678
2 Republic of Austria  2.400%  5/23/34 EUR       7,193     10,499
2 Republic of Austria  5.375%  12/1/34 CAD         518        534
2 Republic of Austria  0.250% 10/20/36 EUR      39,169     44,057
2 Republic of Austria  0.000% 10/20/40 EUR      40,828     43,083
2 Republic of Austria  3.150%  6/20/44 EUR      15,987     29,211
2 Republic of Austria  1.500%  2/20/47 EUR      19,664     28,056
2 Republic of Austria  0.750%  3/20/51 EUR      19,955     24,121
2 Republic of Austria  3.800%  1/26/62 EUR       6,422     15,525
2 Republic of Austria  0.700%  4/20/71 EUR       4,200      4,655
84


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
2 Republic of Austria  1.500%  11/2/86 EUR       7,772     11,778
2 Republic of Austria  2.100%  9/20/17 EUR       5,290     10,132
2 Republic of Austria  0.850%  6/30/20 EUR      22,161     23,700
                   784,341
Belgium (1.8%)                           
  Kingdom of Belgium  2.250%  6/22/23 EUR      22,270     26,954
2 Kingdom of Belgium  0.200% 10/22/23 EUR      25,000     29,352
2 Kingdom of Belgium  2.600%  6/22/24 EUR      41,485     51,953
2 Kingdom of Belgium  0.500% 10/22/24 EUR      16,545     19,698
2,8 Kingdom of Belgium  0.800%  6/22/25 EUR      66,754     80,579
2 Kingdom of Belgium  1.000%  6/22/26 EUR      99,425    121,815
2 Kingdom of Belgium  0.800%  6/22/27 EUR      40,505     49,460
2 Kingdom of Belgium  0.000% 10/22/27 EUR      71,404     83,335
2 Kingdom of Belgium  0.900%  6/22/29 EUR      51,620     63,734
2,8 Kingdom of Belgium  0.100%  6/22/30 EUR      87,025    100,572
2 Kingdom of Belgium  1.000%  6/22/31 EUR       8,655     10,797
2,8 Kingdom of Belgium  0.000% 10/22/31 EUR      98,637    111,334
  Kingdom of Belgium  4.000%  3/28/32 EUR      12,830     20,633
2 Kingdom of Belgium  1.250%  4/22/33 EUR      11,137     14,296
2 Kingdom of Belgium  3.000%  6/22/34 EUR      40,336     61,861
2 Kingdom of Belgium  5.000%  3/28/35 EUR       1,410      2,618
2 Kingdom of Belgium  1.450%  6/22/37 EUR      35,479     46,832
2 Kingdom of Belgium  1.900%  6/22/38 EUR      40,296     56,681
2 Kingdom of Belgium  0.400%  6/22/40 EUR      64,880     71,989
  Kingdom of Belgium  3.750%  6/22/45 EUR      34,960     67,207
2 Kingdom of Belgium  1.600%  6/22/47 EUR      28,887     39,772
2 Kingdom of Belgium  1.700%  6/22/50 EUR      16,775     23,719
2 Kingdom of Belgium  2.250%  6/22/57 EUR       4,964      8,112
2 Kingdom of Belgium  2.150%  6/22/66 EUR       3,454      5,740
2 Kingdom of Belgium  0.650%  6/22/71 EUR      39,673     39,415
  Ministeries Van de Vlaamse Gemeenschap  0.375% 10/13/26 EUR       1,600      1,888
  Ministeries Van de Vlaamse Gemeenschap  1.000% 10/13/36 EUR       3,400      4,120
  Ministeries Van de Vlaamse Gemeenschap  1.500%  7/12/38 EUR       1,000      1,296
  Ministeries Van de Vlaamse Gemeenschap  1.875%   6/2/42 EUR       1,100      1,536
  Ministeries Van de Vlaamse Gemeenschap  1.500%  4/11/44 EUR       2,600      3,384
  Ministeries Van de Vlaamse Gemeenschap  1.000%  1/23/51 EUR       5,300      6,146
  Region Wallonne Belgium  0.500%   4/8/30 EUR       3,200      3,736
  Region Wallonne Belgium  1.250%   5/3/34 EUR      10,200     12,688
  Region Wallonne Belgium  0.500%  6/22/37 EUR       7,000      7,734
  Region Wallonne Belgium  1.050%  6/22/40 EUR       3,000      3,529
  Region Wallonne Belgium  0.650%  1/16/51 EUR       3,800      3,869
  Region Wallonne Belgium  1.250%  6/22/71 EUR       2,000      2,271
                   1,260,655
Britain (0.0%)                           
  United Kingdom Gilt  1.500%  7/31/53 GBP      11,959     18,236
Bulgaria (0.0%)                           
  Republic of Bulgaria  1.875%  3/21/23 EUR       1,909      2,267
  Republic of Bulgaria  2.950%   9/3/24 EUR         156        196
  Republic of Bulgaria  2.625%  3/26/27 EUR         955      1,241
  Republic of Bulgaria  3.000%  3/21/28 EUR       7,957     10,674
  Republic of Bulgaria  3.125%  3/26/35 EUR       3,591      5,153
  Republic of Bulgaria  1.375%  9/23/50 EUR       2,227      2,406
                   21,937
85


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
Canada (4.2%)                           
  British Columbia Municipal Finance Authority  2.600%  4/23/23 CAD         588        487
  British Columbia Municipal Finance Authority  2.800%  12/3/23 CAD       1,949      1,627
  British Columbia Municipal Finance Authority  2.150%   6/3/24 CAD       1,715      1,414
  British Columbia Municipal Finance Authority  2.950% 10/14/24 CAD       1,904      1,608
  British Columbia Municipal Finance Authority  1.100%   6/1/25 CAD       1,909      1,522
  British Columbia Municipal Finance Authority  2.650%  10/2/25 CAD       3,498      2,938
  British Columbia Municipal Finance Authority  2.500%  4/19/26 CAD       2,188      1,827
  British Columbia Municipal Finance Authority  1.350%  6/30/26 CAD       1,000        794
  British Columbia Municipal Finance Authority  3.050% 10/23/28 CAD       2,425      2,082
  British Columbia Municipal Finance Authority  2.550%  10/9/29 CAD       1,481      1,232
  British Columbia Municipal Finance Authority  2.300%  4/15/31 CAD       1,500      1,219
  Canada  0.250%  11/1/22 CAD      61,451     49,398
  Canada  0.250%   2/1/23 CAD      53,619     42,994
  Canada  1.750%   3/1/23 CAD      30,348     24,800
  Canada  0.250%   5/1/23 CAD      64,279     51,411
  Canada  1.500%   6/1/23 CAD       6,322      5,153
  Canada  8.000%   6/1/23 CAD         350        314
  Canada  0.250%   8/1/23 CAD      51,382     40,974
  Canada  2.000%   9/1/23 CAD      17,424     14,322
  Canada  2.250%   3/1/24 CAD      14,656     12,149
  Canada  0.250%   4/1/24 CAD      41,300     32,670
  Canada  2.500%   6/1/24 CAD       9,628      8,046
  Canada  1.500%   9/1/24 CAD      36,170     29,469
  Canada  2.250%   6/1/25 CAD       1,013        847
  Canada  9.000%   6/1/25 CAD       3,819      3,917
  Canada  0.500%   9/1/25 CAD      31,365     24,545
  Canada  0.250%   3/1/26 CAD      27,655     21,255
  Canada  1.500%   6/1/26 CAD       1,910      1,549
  Canada  1.000%   9/1/26 CAD      41,535     32,819
  Canada  1.000%   6/1/27 CAD       2,460      1,934
  Canada  8.000%   6/1/27 CAD       1,622      1,764
  Canada  2.000%   6/1/28 CAD      12,964     10,775
  Canada  2.250%   6/1/29 CAD       7,673      6,501
  Canada  5.750%   6/1/29 CAD      12,850     13,464
  Canada  1.250%   6/1/30 CAD      55,701     43,657
  Canada  0.500%  12/1/30 CAD      39,509     28,811
  Canada  1.500%   6/1/31 CAD      78,805     62,587
  Canada  5.750%   6/1/33 CAD      36,079     41,192
  Canada  5.000%   6/1/37 CAD      39,390     45,224
  Canada  4.000%   6/1/41 CAD      28,138     30,355
  Canada  3.500%  12/1/45 CAD      10,501     10,946
  Canada  2.750%  12/1/48 CAD       8,322      7,798
  Canada  2.000%  12/1/51 CAD      86,087     69,643
  Canada  1.750%  12/1/53 CAD      13,200     10,012
  Canada  2.750%  12/1/64 CAD      15,753     15,165
2 Canada Housing Trust No. 1  2.400% 12/15/22 CAD      44,390     36,531
2 Canada Housing Trust No. 1  2.350%  6/15/23 CAD      21,980     18,180
2 Canada Housing Trust No. 1  2.350%  9/15/23 CAD      23,710     19,737
2 Canada Housing Trust No. 1  3.150%  9/15/23 CAD       6,770      5,717
2 Canada Housing Trust No. 1  2.550% 12/15/23 CAD      22,455     18,673
2 Canada Housing Trust No. 1  2.900%  6/15/24 CAD      38,865     32,614
2 Canada Housing Trust No. 1  1.800% 12/15/24 CAD      25,850     21,032
2 Canada Housing Trust No. 1  2.550%  3/15/25 CAD      15,840     13,356
2 Canada Housing Trust No. 1  0.950%  6/15/25 CAD      26,670     21,263
86


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
2 Canada Housing Trust No. 1  1.950% 12/15/25 CAD      31,480     26,022
2 Canada Housing Trust No. 1  2.250% 12/15/25 CAD       6,915      5,783
2 Canada Housing Trust No. 1  1.250%  6/15/26 CAD      33,055     26,285
2 Canada Housing Trust No. 1  1.900%  9/15/26 CAD      12,545     10,261
2 Canada Housing Trust No. 1  1.100% 12/15/26 CAD      16,100     12,703
2 Canada Housing Trust No. 1  2.350%  6/15/27 CAD      10,290      8,566
2 Canada Housing Trust No. 1  2.350%  3/15/28 CAD       6,655      5,558
2 Canada Housing Trust No. 1  2.650%  3/15/28 CAD      22,215     18,875
2 Canada Housing Trust No. 1  2.650% 12/15/28 CAD       8,670      7,359
2 Canada Housing Trust No. 1  2.100%  9/15/29 CAD      12,045      9,847
2 Canada Housing Trust No. 1  1.750%  6/15/30 CAD      19,935     15,792
2 Canada Housing Trust No. 1  1.100%  3/15/31 CAD       9,115      6,794
2 Canada Housing Trust No. 1  1.400%  3/15/31 CAD      11,605      8,889
2 Canada Housing Trust No. 1  1.900%  3/15/31 CAD       8,645      6,957
2 Canada Housing Trust No. 1  1.600% 12/15/31 CAD      12,250      9,582
  Canada Post Corp.  4.080%  7/16/25 CAD       2,834      2,495
  Canada Post Corp.  4.360%  7/16/40 CAD       1,162      1,199
  City of Montreal Canada  4.250%  12/1/32 CAD         500        468
  CPPIB Capital Inc.  0.375%  7/25/23 GBP       1,177      1,598
  CPPIB Capital Inc.  0.375%  6/20/24 EUR      10,816     12,666
  CPPIB Capital Inc.  0.250%   4/6/27 EUR       4,900      5,699
  CPPIB Capital Inc.  3.000%  6/15/28 CAD       2,536      2,186
  CPPIB Capital Inc.  0.875%   2/6/29 EUR       2,832      3,417
  CPPIB Capital Inc.  1.950%  9/30/29 CAD       5,041      4,030
  CPPIB Capital Inc.  1.500%   3/4/33 EUR       4,853      6,219
  CPPIB Capital Inc.  0.250%  1/18/41 EUR       2,000      2,133
  CPPIB Capital Inc.  0.750%  7/15/49 EUR       1,464      1,727
  Export Development Canada  2.800%  5/31/23 AUD       2,230      1,726
  Export Development Canada  1.375%  12/8/23 GBP       3,182      4,396
  Export Development Canada  1.650%  7/31/24 CAD       1,330      1,085
  Financement-Quebec  5.250%   6/1/34 CAD       3,398      3,535
  First Nations Finance Authority  3.050%   6/1/28 CAD         329        280
  First Nations Finance Authority  1.710%  6/16/30 CAD       1,064        827
  Government of the Northwest Territories  2.200%  9/29/51 CAD         319        223
  Greater Sudbury Canada  2.416%  3/12/50 CAD         277        203
  Hydro-Quebec  6.000%  8/15/31 CAD       2,956      3,159
  Hydro-Quebec  6.500%  1/16/35 CAD       1,322      1,534
  Hydro-Quebec  6.500%  2/15/35 CAD       9,659     11,310
  Hydro-Quebec  6.000%  2/15/40 CAD       8,873     10,694
  Hydro-Quebec  5.000%  2/15/45 CAD      13,363     14,958
  Hydro-Quebec  5.000%  2/15/50 CAD      16,635     19,871
  Hydro-Quebec  4.000%  2/15/55 CAD      16,124     16,622
  Hydro-Quebec  2.100%  2/15/60 CAD      12,644      8,591
2 Labrador-Island Link Funding Trust  3.760%   6/1/33 CAD       2,687      2,488
2 Labrador-Island Link Funding Trust  3.860%  12/1/45 CAD       1,206      1,192
2 Labrador-Island Link Funding Trust  3.850%  12/1/53 CAD       2,408      2,459
  Maritime Link Financing Trust  3.500%  12/1/52 CAD       2,772      2,481
  Montreal  3.500%   9/1/23 CAD       2,371      1,994
  Montreal  3.500%   9/1/24 CAD         350        298
  Montreal  3.000%   9/1/25 CAD       2,227      1,886
  Montreal  3.000%   9/1/27 CAD       1,591      1,356
  Montreal  3.150%   9/1/28 CAD       2,271      1,949
  Montreal  2.300%   9/1/29 CAD       1,738      1,411
  Montreal  1.750%   9/1/30 CAD       2,859      2,205
  Montreal  2.000%   9/1/31 CAD       1,600      1,243
87


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Montreal  4.100%  12/1/34 CAD       1,017        954
  Montreal  3.150%  12/1/36 CAD       1,904      1,603
  Montreal  3.500%  12/1/38 CAD       2,609      2,308
  Montreal  2.400%  12/1/41 CAD       1,991      1,502
  Montreal  6.000%   6/1/43 CAD       1,291      1,546
  Municipal Finance Authority of British Columbia  2.500%  9/27/41 CAD         800        637
2 Muskrat Falls / Labrador Transmission Assets Funding Trust  3.630%   6/1/29 CAD       1,686      1,515
2 Muskrat Falls / Labrador Transmission Assets Funding Trust  3.830%   6/1/37 CAD         747        715
2 Muskrat Falls / Labrador Transmission Assets Funding Trust  3.860%  12/1/48 CAD       3,414      3,396
  New Brunswick F-M Project Co. Inc.  6.470% 11/30/27 CAD          64         58
  Newfoundland & Labrador Hydro  6.650%  8/27/31 CAD         637        692
  Newfoundland & Labrador Hydro  3.600%  12/1/45 CAD       1,255      1,090
  OMERS Finance Trust  0.450%  5/13/25 EUR       4,295      5,015
  OMERS Finance Trust  1.550%  4/21/27 CAD       1,941      1,540
  OMERS Finance Trust  2.600%  5/14/29 CAD       2,355      1,954
2 OMERS Finance Trust  2.600%  5/14/29 CAD         917        761
  Ontario Electricity Financial Corp.  8.250%  6/22/26 CAD       4,465      4,654
  Ontario Electricity Financial Corp.  0.000%  4/11/31 CAD       1,600      1,020
  Ontario Infrastructure & Lands Corp.  4.700%   6/1/37 CAD         570        568
  Ontario Teachers Finance Trust  0.500%   5/6/25 EUR      23,889     28,066
  Ontario Teachers Finance Trust  0.100%  5/19/28 EUR       5,000      5,702
  Ontario Teachers Finance Trust  0.900%  5/20/41 EUR       2,000      2,338
  OPB Finance Trust  2.950%   2/2/26 CAD       9,227      7,813
  OPB Finance Trust  2.980%  1/25/27 CAD       1,586      1,339
  Ottawa Ontario  4.600%  7/14/42 CAD         604        614
  Ottawa Ontario  3.250% 11/10/47 CAD         867        739
  Ottawa Ontario  3.100%  7/27/48 CAD       1,301      1,068
  Ottawa Ontario  2.500%  5/11/51 CAD       1,247        923
  Ottawa Ontario  4.200%  7/30/53 CAD         458        464
  Province of Alberta  2.550% 12/15/22 CAD       3,099      2,559
  Province of Alberta  2.650%   9/1/23 CAD       3,501      2,912
  Province of Alberta  3.400%  12/1/23 CAD         955        808
  Province of Alberta  3.100%   6/1/24 CAD       8,559      7,229
  Province of Alberta  0.625%  4/18/25 EUR       3,372      3,977
  Province of Alberta  2.350%   6/1/25 CAD      10,741      8,921
  Province of Alberta  0.625%  1/16/26 EUR       1,622      1,917
  Province of Alberta  2.200%   6/1/26 CAD       7,763      6,399
  Province of Alberta  3.100% 12/14/26 AUD         668        526
  Province of Alberta  2.550%   6/1/27 CAD      12,932     10,808
  Province of Alberta  2.900%  12/1/28 CAD       7,848      6,687
  Province of Alberta  2.900%  9/20/29 CAD       4,977      4,243
  Province of Alberta  2.050%   6/1/30 CAD      19,181     15,289
  Province of Alberta  1.650%   6/1/31 CAD       8,652      6,674
  Province of Alberta  3.500%   6/1/31 CAD       3,764      3,388
  Province of Alberta  3.900%  12/1/33 CAD       4,251      3,933
  Province of Alberta  4.500%  12/1/40 CAD       1,591      1,622
  Province of Alberta  3.450%  12/1/43 CAD       6,070      5,415
  Province of Alberta  3.300%  12/1/46 CAD      13,357     11,683
  Province of Alberta  3.050%  12/1/48 CAD      16,496     13,887
  Province of Alberta  3.100%   6/1/50 CAD      22,548     19,289
  Province of Alberta  2.950%   6/1/52 CAD       6,200      5,238
  Province of British Columbia  2.700% 12/18/22 CAD       4,374      3,620
88


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Province of British Columbia  3.300% 12/18/23 CAD       6,047      5,115
  Province of British Columbia  4.250% 11/27/24 AUD       1,120        906
  Province of British Columbia  2.850%  6/18/25 CAD       9,768      8,270
  Province of British Columbia  2.300%  6/18/26 CAD       4,773      3,965
  Province of British Columbia  2.550%  6/18/27 CAD       7,259      6,094
  Province of British Columbia  2.950% 12/18/28 CAD       6,997      6,009
  Province of British Columbia  5.700%  6/18/29 CAD       4,320      4,380
  Province of British Columbia  2.200%  6/18/30 CAD      14,685     11,930
  Province of British Columbia  1.550%  6/18/31 CAD      10,300      7,897
  Province of British Columbia  6.350%  6/18/31 CAD       4,773      5,246
  Province of British Columbia  4.700%  6/18/37 CAD       2,214      2,284
  Province of British Columbia  4.950%  6/18/40 CAD       3,977      4,298
  Province of British Columbia  4.300%  6/18/42 CAD       9,257      9,417
  Province of British Columbia  3.200%  6/18/44 CAD      10,507      9,207
  Province of British Columbia  2.800%  6/18/48 CAD      12,876     10,620
  Province of British Columbia  4.900%  6/18/48 CAD         955      1,100
  Province of British Columbia  2.950%  6/18/50 CAD      17,497     14,948
  Province of British Columbia  2.750%  6/18/52 CAD       5,400      4,515
  Province of Manitoba  2.550%   6/2/23 CAD       5,575      4,609
  Province of Manitoba  3.300%   6/2/24 CAD       2,455      2,080
  Province of Manitoba  4.250%   3/3/25 AUD         319        258
  Province of Manitoba  2.450%   6/2/25 CAD       5,675      4,727
  Province of Manitoba  4.400%   9/5/25 CAD       2,164      1,929
  Province of Manitoba  2.550%   6/2/26 CAD       6,045      5,060
  Province of Manitoba  2.600%   6/2/27 CAD       4,837      4,057
  Province of Manitoba  3.000%   6/2/28 CAD       4,000      3,430
  Province of Manitoba  2.750%   6/2/29 CAD       3,568      3,013
  Province of Manitoba  3.250%   9/5/29 CAD       1,822      1,588
  Province of Manitoba  2.050%   6/2/30 CAD       4,820      3,863
  Province of Manitoba  6.300%   3/5/31 CAD         304        328
  Province of Manitoba  2.050%   6/2/31 CAD       6,896      5,457
  Province of Manitoba  5.700%   3/5/37 CAD         955      1,073
  Province of Manitoba  4.600%   3/5/38 CAD       1,806      1,828
  Province of Manitoba  4.650%   3/5/40 CAD       1,273      1,308
  Province of Manitoba  4.100%   3/5/41 CAD       2,391      2,318
  Province of Manitoba  4.400%   3/5/42 CAD       2,069      2,089
  Province of Manitoba  3.350%   3/5/43 CAD       1,237      1,088
  Province of Manitoba  4.050%   9/5/45 CAD       3,026      2,966
  Province of Manitoba  2.850%   9/5/46 CAD       5,384      4,380
  Province of Manitoba  3.400%   9/5/48 CAD       5,288      4,753
  Province of Manitoba  3.200%   3/5/50 CAD       6,303      5,505
  Province of Manitoba  4.700%   3/5/50 CAD         520        570
  Province of Manitoba  2.050%   9/5/52 CAD       3,258      2,288
  Province of Manitoba  3.150%   9/5/52 CAD       2,888      2,493
  Province of Manitoba  3.450%   3/5/63 CAD       1,144      1,105
  Province of New Brunswick  2.850%   6/2/23 CAD       3,182      2,643
  Province of New Brunswick  3.650%   6/3/24 CAD       3,501      2,991
  Province of New Brunswick  1.800%  8/14/25 CAD       1,900      1,551
  Province of New Brunswick  2.600%  8/14/26 CAD       3,182      2,669
  Province of New Brunswick  2.350%  8/14/27 CAD       2,514      2,078
  Province of New Brunswick  3.100%  8/14/28 CAD       2,627      2,264
  Province of New Brunswick  5.500%  1/27/34 CAD       1,273      1,358
  Province of New Brunswick  4.550%  3/26/37 CAD       2,227      2,222
  Province of New Brunswick  4.800%  9/26/39 CAD         770        800
  Province of New Brunswick  4.800%   6/3/41 CAD         952      1,002
89


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Province of New Brunswick  3.550%   6/3/43 CAD       3,646      3,282
  Province of New Brunswick  3.800%  8/14/45 CAD       4,404      4,133
  Province of New Brunswick  3.100%  8/14/48 CAD       5,244      4,430
  Province of New Brunswick  3.050%  8/14/50 CAD       4,358      3,669
  Province of New Brunswick  3.550%   6/3/55 CAD         400        380
  Province of Newfoundland and Labrador  2.300%   6/2/25 CAD       3,291      2,723
  Province of Newfoundland and Labrador  3.000%   6/2/26 CAD       3,182      2,707
  Province of Newfoundland and Labrador  1.250%   6/2/27 CAD       1,700      1,318
  Province of Newfoundland and Labrador  6.150%  4/17/28 CAD         319        318
  Province of Newfoundland and Labrador  2.850%   6/2/28 CAD       4,773      4,030
  Province of Newfoundland and Labrador  2.850%   6/2/29 CAD       2,900      2,445
  Province of Newfoundland and Labrador  1.750%   6/2/30 CAD       3,437      2,644
  Province of Newfoundland and Labrador  5.700% 10/17/35 CAD         319        343
  Province of Newfoundland and Labrador  4.650% 10/17/40 CAD       1,936      1,923
  Province of Newfoundland and Labrador  3.300% 10/17/46 CAD       5,538      4,607
  Province of Newfoundland and Labrador  3.700% 10/17/48 CAD       4,070      3,608
  Province of Newfoundland and Labrador  2.650% 10/17/50 CAD       5,112      3,745
  Province of Nova Scotia  1.000%  4/17/23 CAD         800        647
  Province of Nova Scotia  2.100%   6/1/27 CAD       1,700      1,392
  Province of Nova Scotia  1.100%   6/1/28 CAD       5,000      3,836
  Province of Nova Scotia  2.000%   9/1/30 CAD       6,032      4,786
  Province of Nova Scotia  5.800%   6/1/33 CAD         637        687
  Province of Nova Scotia  4.500%   6/1/37 CAD       1,591      1,585
  Province of Nova Scotia  4.700%   6/1/41 CAD       2,191      2,289
  Province of Nova Scotia  4.400%   6/1/42 CAD       2,909      2,949
  Province of Nova Scotia  3.450%   6/1/45 CAD       1,355      1,216
  Province of Nova Scotia  3.150%  12/1/51 CAD       4,988      4,341
  Province of Nova Scotia  3.500%   6/2/62 CAD       2,679      2,519
  Province of Ontario  1.950%  1/27/23 CAD       8,673      7,093
  Province of Ontario  2.850%   6/2/23 CAD      31,948     26,544
  Province of Ontario  2.600%   9/8/23 CAD      12,075     10,038
  Province of Ontario  7.500%   2/7/24 CAD         818        752
  Province of Ontario  1.875%  5/21/24 EUR       1,591      1,935
  Province of Ontario  3.500%   6/2/24 CAD      29,705     25,305
  Province of Ontario  0.375%  6/14/24 EUR       7,700      9,020
  Province of Ontario  4.250%  8/22/24 AUD         320        257
  Province of Ontario  2.300%   9/8/24 CAD       6,554      5,437
  Province of Ontario  0.875%  1/21/25 EUR       1,591      1,896
  Province of Ontario  2.650%   2/5/25 CAD      10,532      8,834
  Province of Ontario  0.625%  4/17/25 EUR       4,000      4,723
  Province of Ontario  2.600%   6/2/25 CAD      32,448     27,194
  Province of Ontario  3.100%  8/26/25 AUD         635        498
  Province of Ontario  1.750%   9/8/25 CAD      21,900     17,809
  Province of Ontario  2.400%   6/2/26 CAD      24,289     20,243
  Province of Ontario  1.350%   9/8/26 CAD       3,400      2,701
  Province of Ontario  3.500%  1/27/27 AUD         320        254
  Province of Ontario  1.850%   2/1/27 CAD       8,346      6,771
  Province of Ontario  0.375%   4/8/27 EUR         604        706
  Province of Ontario  2.600%   6/2/27 CAD      23,705     19,892
  Province of Ontario  7.600%   6/2/27 CAD       4,773      5,005
  Province of Ontario  1.050%   9/8/27 CAD       8,800      6,787
  Province of Ontario  2.900%   6/2/28 CAD      21,296     18,178
  Province of Ontario  6.500%   3/8/29 CAD       5,269      5,553
  Province of Ontario  2.700%   6/2/29 CAD      21,882     18,437
  Province of Ontario  1.550%  11/1/29 CAD      14,100     10,941
90


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Province of Ontario  2.050%   6/2/30 CAD      30,770     24,699
  Province of Ontario  0.010% 11/25/30 EUR      21,700     24,134
  Province of Ontario  1.350%  12/2/30 CAD      16,757     12,627
  Province of Ontario  2.150%   6/2/31 CAD      34,825     27,976
  Province of Ontario  6.200%   6/2/31 CAD       4,137      4,493
  Province of Ontario  5.850%   3/8/33 CAD       8,575      9,297
  Province of Ontario  5.600%   6/2/35 CAD      16,409     17,916
  Province of Ontario  4.700%   6/2/37 CAD      22,691     23,222
  Province of Ontario  4.600%   6/2/39 CAD      25,623     26,224
  Province of Ontario  4.650%   6/2/41 CAD      27,365     28,591
  Province of Ontario  3.500%   6/2/43 CAD      28,357     25,751
  Province of Ontario  3.450%   6/2/45 CAD      46,988     42,418
  Province of Ontario  2.900%  12/2/46 CAD      35,202     29,109
  Province of Ontario  2.800%   6/2/48 CAD      30,986     25,224
  Province of Ontario  2.900%   6/2/49 CAD      32,344     26,850
  Province of Ontario  2.650%  12/2/50 CAD      36,015     28,563
  Province of Ontario  1.900%  12/2/51 CAD      29,902     19,959
  Province of Ontario  2.550%  12/2/52 CAD       7,300      5,780
  Province of Prince Edward Island  3.650%  6/27/42 CAD         509        458
  Province of Prince Edward Island  2.650%  12/1/51 CAD         924        715
  Province of Prince Edward Island  3.600%  1/17/53 CAD         953        873
  Province of Quebec  3.500%  12/1/22 CAD      18,493     15,420
  Province of Quebec  9.375%  1/16/23 CAD         955        851
  Province of Quebec  2.450%   3/1/23 CAD       2,986      2,460
  Province of Quebec  2.250%  7/17/23 EUR       4,295      5,180
  Province of Quebec  3.000%   9/1/23 CAD      17,124     14,343
  Province of Quebec  1.500% 12/15/23 GBP       2,545      3,521
  Province of Quebec  2.375%  1/22/24 EUR         319        390
  Province of Quebec  2.250%  2/22/24 CAD       1,655      1,371
  Province of Quebec  3.750%   9/1/24 CAD      21,698     18,717
  Province of Quebec  0.875%  1/15/25 EUR       3,596      4,280
  Province of Quebec  4.200%  3/10/25 AUD         480        389
  Province of Quebec  5.350%   6/1/25 CAD       1,591      1,454
  Province of Quebec  2.600%   7/6/25 CAD       1,920      1,612
  Province of Quebec  2.750%   9/1/25 CAD      18,708     15,833
  Province of Quebec  8.500%   4/1/26 CAD       3,182      3,305
  Province of Quebec  3.700%  5/20/26 AUD         136        109
  Province of Quebec  2.500%   9/1/26 CAD      14,732     12,371
  Province of Quebec  1.850%  2/13/27 CAD       1,894      1,541
  Province of Quebec  0.875%   5/4/27 EUR      11,105     13,345
  Province of Quebec  2.750%   9/1/27 CAD      13,420     11,368
  Province of Quebec  0.875%   7/5/28 EUR      13,195     15,871
  Province of Quebec  2.750%   9/1/28 CAD      14,522     12,312
  Province of Quebec  2.300%   9/1/29 CAD      18,689     15,356
  Province of Quebec  6.000%  10/1/29 CAD       4,773      4,940
  Province of Quebec  1.900%   9/1/30 CAD      26,238     20,758
  Province of Quebec  0.000% 10/29/30 EUR      10,501     11,672
  Province of Quebec  2.100%  5/27/31 CAD       5,100      4,103
  Province of Quebec  1.500%   9/1/31 CAD      15,360     11,709
  Province of Quebec  6.250%   6/1/32 CAD       6,864      7,638
  Province of Quebec  5.750%  12/1/36 CAD       6,404      7,236
  Province of Quebec  5.000%  12/1/38 CAD      13,028     13,937
  Province of Quebec  5.000%  12/1/41 CAD      20,751     22,775
  Province of Quebec  4.250%  12/1/43 CAD      19,236     19,535
  Province of Quebec  3.500%  12/1/45 CAD      24,622     22,591
91


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Province of Quebec  3.500%  12/1/48 CAD      31,858     29,585
  Province of Quebec  3.100%  12/1/51 CAD      33,418     29,274
  Province of Quebec  2.850%  12/1/53 CAD      12,700     10,740
  Province of Saskatchewan  3.200%   6/3/24 CAD       3,023      2,555
  Province of Saskatchewan  0.800%   9/2/25 CAD       3,787      2,975
  Province of Saskatchewan  2.550%   6/2/26 CAD       2,188      1,832
  Province of Saskatchewan  2.650%   6/2/27 CAD       3,182      2,675
  Province of Saskatchewan  3.050%  12/2/28 CAD       2,113      1,816
  Province of Saskatchewan  5.750%   3/5/29 CAD       1,909      1,918
  Province of Saskatchewan  2.200%   6/2/30 CAD       3,619      2,932
  Province of Saskatchewan  2.150%   6/2/31 CAD       6,706      5,376
  Province of Saskatchewan  4.750%   6/1/40 CAD       2,354      2,461
  Province of Saskatchewan  3.400%   2/3/42 CAD       2,391      2,126
  Province of Saskatchewan  3.900%   6/2/45 CAD       3,709      3,563
  Province of Saskatchewan  2.750%  12/2/46 CAD       5,762      4,602
  Province of Saskatchewan  3.300%   6/2/48 CAD       5,383      4,753
  Province of Saskatchewan  3.100%   6/2/50 CAD       6,366      5,469
  Province of Saskatchewan  2.800%  12/2/52 CAD       2,400      1,962
  Province of Saskatchewan  3.750%   3/5/54 CAD       1,208      1,169
  Province of Saskatchewan  2.950%   6/2/58 CAD       1,391      1,154
  PSP Capital Inc.  2.090% 11/22/23 CAD       1,273      1,050
  PSP Capital Inc.  3.290%   4/4/24 CAD       6,308      5,334
  PSP Capital Inc.  3.000%  11/5/25 CAD       1,961      1,675
  PSP Capital Inc.  0.900%  6/15/26 CAD       2,000      1,559
  PSP Capital Inc.  2.050%  1/15/30 CAD       6,391      5,172
  Regional Municipality of Peel Ontario  5.100%  6/29/40 CAD       2,221      2,353
  Regional Municipality of Peel Ontario  2.500%  6/16/51 CAD       1,400      1,049
  Regional Municipality of York  2.600% 12/15/25 CAD       1,591      1,330
  Regional Municipality of York  2.500%   6/2/26 CAD         955        797
  Regional Municipality of York  1.700%  5/27/30 CAD         944        730
  Regional Municipality of York  2.150%  6/22/31 CAD       1,500      1,191
  Regional Municipality of York  4.000%  5/31/32 CAD         477        437
  Regional Municipality of York  3.650%  5/13/33 CAD         986        886
  Regional Municipality of York  4.050%   5/1/34 CAD       1,164      1,073
  Royal Office Finance LP  5.209% 11/12/37 CAD       1,503      1,451
  South Coast British Columbia Transportation Authority  3.050%   6/4/25 CAD       1,600      1,347
  South Coast British Columbia Transportation Authority  3.250% 11/23/28 CAD       1,300      1,111
  South Coast British Columbia Transportation Authority  3.150% 11/16/48 CAD       2,989      2,477
  South Coast British Columbia Transportation Authority  2.650% 10/29/50 CAD         315        243
  TCHC Issuer Trust  5.395%  2/22/40 CAD         661        716
  Toronto Canada  3.900%  9/29/23 CAD       1,506      1,275
  Toronto Canada  2.450%   2/6/25 CAD       1,879      1,559
  Toronto Canada  2.400%   6/7/27 CAD       1,614      1,341
  Toronto Canada  2.650%  11/9/29 CAD       1,900      1,587
  Toronto Canada  2.950%  4/28/35 CAD       1,989      1,650
  Toronto Canada  3.500%   6/2/36 CAD       1,000        883
  Toronto Canada  5.200%   6/1/40 CAD         389        416
  Toronto Canada  2.150%  8/25/40 CAD       2,004      1,470
  Toronto Canada  4.700%  6/10/41 CAD         637        657
  Toronto Canada  3.800% 12/13/42 CAD       1,117      1,035
  Toronto Canada  4.150%  3/10/44 CAD       1,568      1,524
  Toronto Canada  3.250%  6/24/46 CAD       1,273      1,080
92


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Toronto Canada  3.200%   8/1/48 CAD         580        495
  Toronto Canada  2.800% 11/22/49 CAD       1,956      1,527
  Toronto Canada  2.900%  4/29/51 CAD         700        564
  Vancouver Canada  3.700% 10/18/52 CAD         407        372
  Winnipeg Canada  4.100%   6/1/45 CAD         319        300
  Winnipeg Canada  4.300% 11/15/51 CAD       1,823      1,827
                   3,009,966
Chile (0.0%)                           
  Republic of Chile  1.625%  1/30/25 EUR       1,788      2,168
  Republic of Chile  0.100%  1/26/27 EUR       4,200      4,733
  Republic of Chile  1.440%   2/1/29 EUR       1,432      1,730
  Republic of Chile  0.830%   7/2/31 EUR       3,514      4,013
  Republic of Chile  1.300%  7/26/36 EUR       3,200      3,566
  Republic of Chile  1.250%  1/29/40 EUR       3,054      3,354
  Republic of Chile  1.250%  1/22/51 EUR       3,733      3,769
                   23,333
China (0.9%)                           
  Agricultural Development Bank of China  2.200%   4/1/23 CNY     100,000     15,543
  Agricultural Development Bank of China  3.190%   3/3/24 CNY      50,000      7,872
  Agricultural Development Bank of China  3.240%  8/14/24 CNY      50,000      7,882
  Agricultural Development Bank of China  2.250%  4/22/25 CNY      50,000      7,617
  Agricultural Development Bank of China  3.450%  9/23/25 CNY      50,000      7,913
  Agricultural Development Bank of China  3.350%  3/24/26 CNY      50,000      7,876
  Agricultural Development Bank of China  3.630%  7/19/26 CNY      40,000      6,373
  Agricultural Development Bank of China  3.480%   2/4/28 CNY      60,000      9,502
  Agricultural Development Bank of China  2.960%  4/17/30 CNY      30,000      4,548
  Agricultural Development Bank of China  3.790% 10/26/30 CNY      50,000      8,054
  Agricultural Development Bank of China  3.520%  5/24/31 CNY      20,000      3,160
  China Development Bank  0.625% 12/12/22 EUR       1,082      1,258
  China Development Bank  3.000%   8/7/23 CNY      10,000      1,573
  China Development Bank  2.980%   1/8/24 CNY     100,000     15,719
  China Development Bank  0.875%  1/24/24 EUR         509        597
  China Development Bank  3.230%  1/10/25 CNY      20,000      3,159
  China Development Bank  3.340%  7/14/25 CNY      20,000      3,164
  China Development Bank  3.430%  1/14/27 CNY     110,000     17,411
  China Development Bank  4.240%  8/24/27 CNY     120,000     19,732
  China Development Bank  3.400%   1/8/28 CNY     200,000     31,473
  China Development Bank  3.070%  3/10/30 CNY      25,000      3,823
  China Development Bank  3.090%  6/18/30 CNY      30,000      4,594
  China Development Bank  3.700% 10/20/30 CNY      30,000      4,808
  China Development Bank  3.660%   3/1/31 CNY      60,000      9,607
  China Development Bank  3.410%   6/7/31 CNY      50,000      7,868
  China Development Bank  3.800%  1/25/36 CNY      30,000      4,832
  China Development Bank  3.900%   8/3/40 CNY     120,000     19,617
  China Government Bond  3.300%  7/12/23 CNY     110,000     17,411
  China Government Bond  2.880%  11/5/23 CNY     120,000     18,857
  China Government Bond  2.840%   4/8/24 CNY     250,000     39,253
  China Government Bond  2.940% 10/17/24 CNY      80,000     12,591
  China Government Bond  1.990%   4/9/25 CNY     160,000     24,409
  China Government Bond  3.020% 10/22/25 CNY      50,000      7,887
  China Government Bond  3.030%  3/11/26 CNY     110,000     17,351
  China Government Bond  2.850%   6/4/27 CNY      40,000      6,230
  China Government Bond  3.280%  12/3/27 CNY      80,000     12,720
  China Government Bond  3.010%  5/13/28 CNY     240,000     37,561
  China Government Bond  3.290%  5/23/29 CNY      90,000     14,338
93


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  China Government Bond  2.680%  5/21/30 CNY      50,000      7,637
  China Government Bond  3.270% 11/19/30 CNY      50,000      7,997
  China Government Bond  3.020%  5/27/31 CNY      60,000      9,412
  China Government Bond  0.500% 11/12/31 EUR       8,558      9,674
  China Government Bond  0.625% 11/25/35 EUR       3,182      3,539
  China Government Bond  4.270%  5/17/37 CNY      30,000      5,225
  China Government Bond  1.000% 11/12/39 EUR       3,087      3,467
  China Government Bond  3.520%  4/25/46 CNY      20,000      3,151
  China Government Bond  3.970%  7/23/48 CNY      20,000      3,370
  China Government Bond  3.860%  7/22/49 CNY      70,000     11,569
  China Government Bond  3.390%  3/16/50 CNY      30,000      4,561
  China Government Bond  3.810%  9/14/50 CNY      40,000      6,544
  China Government Bond  3.720%  4/12/51 CNY      60,000      9,766
  China Government Bond  3.530% 10/18/51 CNY      25,000      3,926
  China Government Bond  3.730%  5/25/70 CNY      15,000      2,438
  China Government Bond  3.760%  3/22/71 CNY      40,000      6,532
  Export-Import Bank of China  2.170%   4/7/23 CNY      90,000     13,982
  Export-Import Bank of China  0.750%  5/28/23 EUR       1,018      1,190
  Export-Import Bank of China  3.140%   4/2/24 CNY      60,000      9,444
  Export-Import Bank of China  3.430% 10/23/25 CNY      50,000      7,907
  Export-Import Bank of China  3.220%  5/14/26 CNY      40,000      6,266
  Export-Import Bank of China  3.400%  1/11/28 CNY      40,000      6,289
  Export-Import Bank of China  3.860%  5/20/29 CNY      40,000      6,460
  Export-Import Bank of China  3.740% 11/16/30 CNY      80,000     12,845
                   607,374
Colombia (0.2%)                           
  Colombian TES 10.000%  7/24/24 COP  55,100,000     16,004
  Colombian TES  6.250% 11/26/25 COP  43,000,000     11,162
  Colombian TES  7.500%  8/26/26 COP  61,500,000     16,530
  Colombian TES  5.750%  11/3/27 COP  69,000,000     16,797
  Colombian TES  6.000%  4/28/28 COP  67,000,000     16,305
  Colombian TES  7.750%  9/18/30 COP  65,300,000     17,169
  Colombian TES  7.000%  3/26/31 COP  28,000,000      6,943
  Colombian TES  7.000%  6/30/32 COP  58,700,000     14,318
  Colombian TES  7.250% 10/18/34 COP  64,250,000     15,740
  Colombian TES  6.250%   7/9/36 COP  24,000,000      5,266
  Colombian TES  7.250% 10/26/50 COP  34,000,000      7,774
                   144,008
Croatia (0.1%)                           
  Republic of Croatia  3.000%  3/11/25 EUR         637        807
  Republic of Croatia  3.000%  3/20/27 EUR       2,227      2,925
  Republic of Croatia  2.700%  6/15/28 EUR       1,846      2,425
  Republic of Croatia  1.125%  6/19/29 EUR       2,227      2,639
  Republic of Croatia  2.750%  1/27/30 EUR       2,227      2,959
  Republic of Croatia  1.500%  6/17/31 EUR      20,228     24,316
  Republic of Croatia  1.750%   3/4/41 EUR       3,224      3,789
                   39,860
Czech Republic (0.3%)                           
  Czech Republic  0.450% 10/25/23 CZK     492,900     21,205
  Czech Republic  5.700%  5/25/24 CZK      70,000      3,376
  Czech Republic  0.000% 12/12/24 CZK     379,990     15,742
  Czech Republic  1.250%  2/14/25 CZK   1,050,000     45,004
  Czech Republic  2.400%  9/17/25 CZK      79,550      3,532
  Czech Republic  1.000%  6/26/26 CZK     590,170     24,531
94


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Czech Republic  0.250%  2/10/27 CZK     316,860     12,516
  Czech Republic  2.500%  8/25/28 CZK     117,730      5,203
  Czech Republic  2.750%  7/23/29 CZK     219,020      9,855
  Czech Republic  0.950%  5/15/30 CZK     506,240     19,743
  Czech Republic  1.200%  3/13/31 CZK     357,070     14,088
  Czech Republic  2.000% 10/13/33 CZK     214,620      8,979
  Czech Republic  4.200%  12/4/36 CZK     184,490      9,854
  Czech Republic  1.500%  4/24/40 CZK     195,570      7,299
  Czech Republic  4.850% 11/26/57 CZK      28,960      1,812
                   202,739
Denmark (0.5%)                           
  Kingdom of Denmark  3.000% 11/15/21 DKK      22,084      3,436
  Kingdom of Denmark  1.500% 11/15/23 DKK      77,174     12,491
  Kingdom of Denmark  7.000% 11/10/24 DKK      23,636      4,505
  Kingdom of Denmark  1.750% 11/15/25 DKK     215,507     36,311
  Kingdom of Denmark  0.500% 11/15/27 DKK     362,139     58,431
2 Kingdom of Denmark  0.500% 11/15/29 DKK     364,094     58,881
2 Kingdom of Denmark  0.000% 11/15/31 DKK     460,000     70,466
  Kingdom of Denmark  4.500% 11/15/39 DKK     244,948     67,411
2 Kingdom of Denmark  0.250% 11/15/52 DKK      82,955     12,482
  Kommunekredit  0.250%  3/29/23 EUR      15,319     17,866
  Kommunekredit  0.250%  5/15/23 EUR         117        137
  Kommunekredit  0.250%  2/16/24 EUR         637        745
  Kommunekredit  0.625%  5/11/26 EUR       1,400      1,667
  Kommunekredit  2.900% 11/27/26 AUD       1,330      1,041
  Kommunekredit  0.750%  5/18/27 EUR       8,139      9,764
  State of Rhineland-Palatinate  0.375%   4/1/41 EUR       3,400      3,839
                   359,473
Finland (0.5%)                           
  Finnvera OYJ  0.500%  4/13/26 EUR       2,069      2,446
  Finnvera OYJ  0.375%   4/9/29 EUR       4,773      5,604
  Kuntarahoitus OYJ  0.000%   3/2/31 EUR      15,800     17,882
  Kuntarahoitus OYJ  0.050%  9/10/35 EUR       9,000      9,939
  Municipality Finance plc  5.000%  3/20/24 AUD       1,304      1,059
  Municipality Finance plc  0.625% 11/26/26 EUR       1,591      1,902
  Municipality Finance plc  1.250%  2/23/33 EUR       3,182      4,066
2 Republic of Finland  1.500%  4/15/23 EUR      11,181     13,333
2 Republic of Finland  0.000%  9/15/23 EUR      10,739     12,546
2 Republic of Finland  2.000%  4/15/24 EUR       9,227     11,355
2 Republic of Finland  0.000%  9/15/24 EUR      15,909     18,663
2 Republic of Finland  4.000%   7/4/25 EUR      13,893     18,720
2 Republic of Finland  0.875%  9/15/25 EUR       3,341      4,052
2 Republic of Finland  0.000%  9/15/26 EUR      35,000     40,985
2 Republic of Finland  0.500%  9/15/27 EUR      16,227     19,535
2 Republic of Finland  2.750%   7/4/28 EUR       3,612      4,991
2 Republic of Finland  0.500%  9/15/29 EUR      22,154     26,687
2 Republic of Finland  0.000%  9/15/30 EUR      21,138     24,301
2 Republic of Finland  0.750%  4/15/31 EUR      13,520     16,581
2 Republic of Finland  0.125%  9/15/31 EUR      13,939     16,072
2 Republic of Finland  1.125%  4/15/34 EUR      10,182     13,060
2 Republic of Finland  0.125%  4/15/36 EUR      13,000     14,595
2 Republic of Finland  0.250%  9/15/40 EUR      30,000     33,894
2 Republic of Finland  2.625%   7/4/42 EUR      10,887     18,301
2 Republic of Finland  1.375%  4/15/47 EUR       6,682      9,584
95


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
2 Republic of Finland  0.125%  4/15/52 EUR       8,530      8,849
                   369,002
France (8.8%)                           
  Action Logement Services  0.750%  7/19/41 EUR       6,000      6,689
  Agence Francaise de Developpement EPIC  0.125% 11/15/23 EUR       2,600      3,035
  Agence Francaise de Developpement EPIC  3.125%   1/4/24 EUR       3,000      3,730
  Agence Francaise de Developpement EPIC  0.375%  4/30/24 EUR      13,500     15,892
  Agence Francaise de Developpement EPIC  1.375%  9/17/24 EUR       6,500      7,862
  Agence Francaise de Developpement EPIC  2.250%  5/27/25 EUR       3,200      4,021
  Agence Francaise de Developpement EPIC  0.500% 10/31/25 EUR       3,200      3,795
  Agence Francaise de Developpement EPIC  0.250%  7/21/26 EUR       3,900      4,578
  Agence Francaise de Developpement EPIC  3.750%  2/15/27 EUR       1,200      1,662
  Agence Francaise de Developpement EPIC  1.000%  1/31/28 EUR       1,600      1,957
  Agence Francaise de Developpement EPIC  0.010% 11/25/28 EUR      10,000     11,433
  Agence Francaise de Developpement EPIC  0.250%  6/29/29 EUR      20,600     23,861
  Agence Francaise de Developpement EPIC  0.500%  5/25/30 EUR      26,100     30,683
  Agence Francaise de Developpement EPIC  1.375%   7/5/32 EUR       4,800      6,073
  Agence Francaise de Developpement EPIC  0.500%  5/31/35 EUR       3,200      3,638
  Agence France Locale  0.500%  6/20/24 EUR       3,200      3,774
  Agence France Locale  0.125%  6/20/26 EUR       5,500      6,392
  Agence France Locale  0.000%  9/20/27 EUR      15,000     17,203
  Agence France Locale  1.125%  6/20/28 EUR       2,900      3,559
  Bpifrance SACA  0.250%  2/14/23 EUR       6,400      7,465
  Bpifrance SACA  0.125% 11/25/23 EUR      40,900     47,798
  Bpifrance SACA  2.500%  5/25/24 EUR       3,200      3,968
  Bpifrance SACA  0.750% 11/25/24 EUR       5,200      6,200
  Bpifrance SACA  0.125%  3/25/25 EUR      10,300     12,047
  Bpifrance SACA  0.500%  5/25/25 EUR       1,800      2,133
  Bpifrance SACA  2.750% 10/25/25 EUR       8,900     11,485
  Bpifrance SACA  0.050%  9/26/29 EUR       3,200      3,643
  Bpifrance SACA  1.875%  5/25/30 EUR       3,200      4,203
  Caisse d'Amortissement de la Dette Sociale  0.125% 11/25/22 EUR      35,000     40,714
  Caisse d'Amortissement de la Dette Sociale  4.125%  4/25/23 EUR       1,591      1,963
  Caisse d'Amortissement de la Dette Sociale  0.500%  5/25/23 EUR      28,400     33,302
  Caisse d'Amortissement de la Dette Sociale  0.125% 10/25/23 EUR       2,000      2,337
  Caisse d'Amortissement de la Dette Sociale  1.375% 11/25/24 EUR      37,273     45,283
  Caisse d'Amortissement de la Dette Sociale  4.000% 12/15/25 EUR       3,182      4,316
  Caisse d'Amortissement de la Dette Sociale  0.000% 11/25/26 EUR      10,000     11,594
  Caisse d'Amortissement de la Dette Sociale  0.000%  5/25/29 EUR      30,000     34,268
  Caisse d'Amortissement de la Dette Sociale  0.000%  5/25/31 EUR      30,500     34,160
  Caisse Francaise de Financement Local  0.625%  1/26/23 EUR       6,100      7,138
  Caisse Francaise de Financement Local  0.200%  4/27/23 EUR       5,000      5,825
  Caisse Francaise de Financement Local  2.375%  1/17/24 EUR       3,900      4,763
  Caisse Francaise de Financement Local  0.375%  5/11/24 EUR       6,400      7,493
  Caisse Francaise de Financement Local  5.375%   7/8/24 EUR       1,273      1,688
  Caisse Francaise de Financement Local  0.375%  6/23/25 EUR       7,400      8,678
  Caisse Francaise de Financement Local  1.125%   9/9/25 EUR       1,100      1,327
  Caisse Francaise de Financement Local  0.500%  1/19/26 EUR         200        236
  Caisse Francaise de Financement Local  0.625%  4/13/26 EUR       1,900      2,255
  Caisse Francaise de Financement Local  0.750%  1/11/27 EUR       1,300      1,555
  Caisse Francaise de Financement Local  0.750%  9/27/27 EUR       3,200      3,839
  Caisse Francaise de Financement Local  3.000%  10/2/28 EUR       3,100      4,283
  Caisse Francaise de Financement Local  0.010%  6/24/30 EUR      25,900     29,309
  Caisse Francaise de Financement Local  1.500%  1/13/31 EUR       3,200      4,108
  Caisse Francaise de Financement Local  1.250%  5/11/32 EUR       6,100      7,713
96


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Caisse Francaise de Financement Local  1.450%  1/16/34 EUR       1,600      2,082
  Caisse Francaise de Financement Local  1.500%  6/28/38 EUR       2,300      3,097
  Caisse Francaise de Financement Local  0.375%  2/13/40 EUR       7,300      8,294
  France  0.000%  2/25/23 EUR      95,985    111,854
8 France  1.750%  5/25/23 EUR     172,197    206,356
8 France  4.250% 10/25/23 EUR      35,245     44,652
  France  0.000%  2/25/24 EUR     576,784    674,335
  France  1.750% 11/25/24 EUR      48,950     60,386
8 France  0.000%  3/25/25 EUR     157,502    184,450
8 France  0.500%  5/25/25 EUR      45,481     54,222
8 France  1.000% 11/25/25 EUR      58,871     71,708
  France  0.000%  2/25/26 EUR      65,463     76,561
  France  3.500%  4/25/26 EUR      35,637     48,188
  France  0.500%  5/25/26 EUR     110,728    132,421
8 France  0.250% 11/25/26 EUR      48,637     57,516
9 France  0.000%  2/25/27 EUR     600,801    700,716
8 France  0.750%  5/25/28 EUR     160,592    195,520
8 France  0.750% 11/25/28 EUR     302,393    368,361
  France  5.500%  4/25/29 EUR      21,223     34,638
  France  0.000% 11/25/29 EUR      57,070     65,455
  France  2.500%  5/25/30 EUR      10,355     14,417
8 France  0.000% 11/25/30 EUR     148,742    168,984
  France  1.500%  5/25/31 EUR      76,789     99,536
  France  0.000% 11/25/31 EUR     336,312    377,888
  France  1.250%  5/25/34 EUR     144,764    184,467
  France  4.750%  4/25/35 EUR      19,721     35,857
2 France  1.250%  5/25/36 EUR     100,368    128,505
8 France  4.000% 10/25/38 EUR      50,216     91,075
2 France  1.750%  6/25/39 EUR      23,880     33,324
2,8 France  0.500%  5/25/40 EUR     144,681    163,935
  France  4.500%  4/25/41 EUR      81,778    162,470
2 France  0.500%  6/25/44 EUR      57,279     63,740
8 France  3.250%  5/25/45 EUR      88,705    159,946
2 France  2.000%  5/25/48 EUR      31,676     47,675
2 France  1.500%  5/25/50 EUR      78,352    106,689
2 France  0.750%  5/25/52 EUR     110,037    124,167
2 France  0.750%  5/25/53 EUR      74,375     82,962
2 France  4.000%  4/25/55 EUR      23,447     52,011
  France  4.000%  4/25/60 EUR      30,943     71,925
2 France  1.750%  5/25/66 EUR       2,915      4,347
2 France  0.500%  5/25/72 EUR      57,457     53,357
  Regie Autonome des Transports Parisiens  0.875%  5/25/27 EUR       1,000      1,207
  Region of Ile de France  2.250%  6/10/23 EUR         100        120
  Region of Ile de France  3.625%  3/27/24 EUR       4,200      5,319
  Region of Ile de France  0.500%  6/14/25 EUR       4,800      5,676
  Region of Ile de France  0.625%  4/23/27 EUR       1,600      1,904
  Region of Ile de France  1.375%  6/20/33 EUR       1,900      2,393
  SA de Gestion de Stocks de Securite  0.625%  5/25/23 EUR       3,900      4,574
  SNCF Reseau  2.625% 12/29/25 EUR       1,600      2,056
  SNCF Reseau  4.250%  10/7/26 EUR         200        280
  SNCF Reseau  3.125% 10/25/28 EUR       2,300      3,197
  SNCF Reseau  5.250%  12/7/28 GBP       5,413      9,389
  SNCF Reseau  0.875%  1/22/29 EUR       1,900      2,293
  SNCF Reseau  1.125%  5/25/30 EUR       9,000     11,049
  SNCF Reseau  1.000%  11/9/31 EUR       4,800      5,812
97


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  SNCF Reseau  5.000% 10/10/33 EUR       4,900      8,509
  SNCF Reseau  5.250%  1/31/35 GBP         446        872
  SNCF Reseau  0.750%  5/25/36 EUR      11,900     13,870
  SNCF Reseau  1.500%  5/29/37 EUR       5,800      7,407
  SNCF Reseau  2.250% 12/20/47 EUR       4,000      5,848
  SNCF Reseau  2.000%   2/5/48 EUR       1,600      2,213
  SNCF Reseau  5.000%  3/11/52 GBP       1,599      3,850
  SNCF Reseau  4.830%  3/25/60 GBP         446      1,118
  Societe Du Grand Paris EPIC  1.125% 10/22/28 EUR       3,400      4,192
  Societe Du Grand Paris EPIC  0.000% 11/25/30 EUR       4,800      5,356
  Societe Du Grand Paris EPIC  1.125%  5/25/34 EUR      14,300     17,534
  Societe Du Grand Paris EPIC  0.875%  5/10/46 EUR       2,000      2,283
  Societe Du Grand Paris EPIC  1.700%  5/25/50 EUR      11,200     15,269
  Societe Du Grand Paris EPIC  0.700% 10/15/60 EUR       1,600      1,609
  Societe Du Grand Paris EPIC  1.000%  2/18/70 EUR       7,800      8,446
  Societe Nationale SNCF SA  4.875%  6/12/23 EUR       1,850      2,316
  Societe Nationale SNCF SA  4.125%  2/19/25 EUR         100        132
  Societe Nationale SNCF SA  5.375%  3/18/27 GBP       2,568      4,225
  Societe Nationale SNCF SA  1.500%   2/2/29 EUR       4,500      5,610
  Societe Nationale SNCF SA  1.000%  5/25/40 EUR      12,000     13,667
  Societe Nationale SNCF SA  0.875%  2/28/51 EUR       6,000      6,207
  UNEDIC ASSEO  2.250%   4/5/23 EUR       2,300      2,763
  UNEDIC ASSEO  2.375%  5/25/24 EUR       1,000      1,236
  UNEDIC ASSEO  0.125% 11/25/24 EUR      28,800     33,664
  UNEDIC ASSEO  0.625%  2/17/25 EUR       4,000      4,762
  UNEDIC ASSEO  0.625%   3/3/26 EUR       4,600      5,487
  UNEDIC ASSEO  0.100% 11/25/26 EUR      27,800     32,371
  UNEDIC ASSEO  1.250% 10/21/27 EUR       6,800      8,447
  UNEDIC ASSEO  0.500%  3/20/29 EUR       7,700      9,131
  UNEDIC ASSEO  0.250% 11/25/29 EUR       9,600     11,140
  UNEDIC ASSEO  0.000%   3/5/30 EUR      10,000     11,358
  UNEDIC ASSEO  0.000% 11/19/30 EUR       2,300      2,587
  UNEDIC ASSEO  1.500%  4/20/32 EUR         200        258
  UNEDIC ASSEO  1.250%  5/25/33 EUR         600        758
  UNEDIC ASSEO  0.100%  5/25/34 EUR      26,100     28,693
  UNEDIC ASSEO  0.250%  7/16/35 EUR       7,000      7,800
                   6,231,272
Germany (8.4%)                           
  Bundesobligation  0.000%  4/14/23 EUR      15,570     18,163
  Bundesobligation  0.000%   4/5/24 EUR      16,192     18,982
  Bundesobligation  0.000% 10/18/24 EUR     169,217    198,724
8 Bundesobligation  0.000%  4/11/25 EUR     135,538    159,333
  Bundesobligation  0.000% 10/10/25 EUR     159,092    187,217
  Bundesobligation  0.000%  4/10/26 EUR     212,000    249,691
  Bundesobligation  0.000%  10/9/26 EUR     120,000    141,395
  Bundesrepublik Deutschland Bundesanleihe  0.010%  8/15/52 EUR      20,000     22,211
  Bundesschatzanweisungen  0.000%  3/10/23 EUR     201,800    235,212
  Bundesschatzanweisungen  0.000%  6/16/23 EUR     103,723    121,077
8 Bundesschatzanweisungen  0.000%  9/15/23 EUR     295,092    344,801
  Federal Republic of Germany  1.750%   7/4/22 EUR      70,246     82,519
  Federal Republic of Germany  1.500%  5/15/23 EUR      12,488     14,910
  Federal Republic of Germany  1.500%  5/15/24 EUR      51,337     62,504
  Federal Republic of Germany  1.000%  8/15/24 EUR      31,819     38,390
  Federal Republic of Germany  0.000%  8/15/26 EUR      14,001     16,497
  Federal Republic of Germany  0.250%  2/15/27 EUR      49,496     59,093
98


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Federal Republic of Germany  0.000% 11/15/27 EUR     169,847    200,163
8 Federal Republic of Germany  0.500%  2/15/28 EUR     192,480    234,044
  Federal Republic of Germany  0.250%  8/15/28 EUR      37,030     44,382
  Federal Republic of Germany  0.000% 11/15/28 EUR     329,000    387,077
  Federal Republic of Germany  0.000%  2/15/31 EUR       4,694      5,488
  Federal Republic of Germany  0.000%  8/15/31 EUR     180,000    210,063
8 Federal Republic of Germany  0.000%  5/15/35 EUR     116,360    135,213
8 Federal Republic of Germany  0.000%  5/15/36 EUR     305,372    351,215
  Federal Republic of Germany  4.250%   7/4/39 EUR      12,536     25,596
  Federal Republic of Germany  4.750%   7/4/40 EUR      12,079     26,547
  Federal Republic of Germany  3.250%   7/4/42 EUR       4,116      7,982
  Federal Republic of Germany  2.500%   7/4/44 EUR      70,637    127,816
8 Federal Republic of Germany  2.500%  8/15/46 EUR     140,568    260,973
  Federal Republic of Germany  1.250%  8/15/48 EUR      72,967    110,179
  Federal Republic of Germany  0.000%  8/15/50 EUR      80,681     90,059
  FMS Wertmanagement  1.125%  3/20/23 GBP       5,700      7,830
  FMS Wertmanagement  1.125%   9/7/23 GBP       6,500      8,924
  FMS Wertmanagement  1.375%   3/7/25 GBP       6,400      8,867
  FMS Wertmanagement  0.375%  4/29/30 EUR       3,500      4,111
  Free and Hanseatic City of Hamburg  0.250%  1/20/25 EUR       7,319      8,577
  Free and Hanseatic City of Hamburg  0.375%   4/1/25 EUR       2,010      2,361
  Free and Hanseatic City of Hamburg  0.010%  6/30/28 EUR      20,000     23,089
  Free and Hanseatic City of Hamburg  0.800%  4/11/34 EUR         637        773
  Free and Hanseatic City of Hamburg  1.450%  11/5/38 EUR       4,773      6,379
  Free State of Bavaria  0.030%   4/3/28 EUR      21,000     24,215
  Free State of Bavaria  0.150%   4/3/30 EUR       3,128      3,611
  Free State of Bavaria  0.010%  1/18/35 EUR      10,824     11,918
  Free State of Saxony  0.010%  11/5/29 EUR      14,753     16,835
  Gemeinsame Deutsche Bundeslaender  1.750%  1/31/23 EUR       2,545      3,023
  Gemeinsame Deutsche Bundeslaender  0.125%  4/14/23 EUR       3,182      3,706
  Gemeinsame Deutsche Bundeslaender  0.250%  3/18/24 EUR       7,955      9,303
  Gemeinsame Deutsche Bundeslaender  1.125%  9/30/24 EUR       1,751      2,100
  Gemeinsame Deutsche Bundeslaender  0.500%   2/5/25 EUR       5,346      6,308
  Gemeinsame Deutsche Bundeslaender  0.375%  4/17/25 EUR       6,363      7,480
  Gemeinsame Deutsche Bundeslaender  0.625%  2/13/29 EUR       1,273      1,526
  Gemeinsame Deutsche Bundeslaender  0.010%  8/26/30 EUR      11,452     13,021
10 KFW  0.000% 12/15/22 EUR       7,955      9,250
10 KFW  2.800%   3/7/23 AUD       8,146      6,295
10 KFW  0.375%  3/15/23 EUR      20,955     24,510
10 KFW  0.000%  6/30/23 EUR      33,059     38,492
10 KFW  2.125%  8/15/23 EUR       6,363      7,692
10 KFW  0.000%  9/15/23 EUR      10,182     11,857
10 KFW  0.125%  11/7/23 EUR       3,444      4,023
10 KFW  1.250% 12/29/23 GBP       6,539      9,007
10 KFW  0.125%  1/15/24 EUR       6,363      7,437
10 KFW  5.000%  3/19/24 AUD         637        520
10 KFW  0.000%   4/2/24 EUR       5,314      6,192
10 KFW  0.050%  5/30/24 EUR         955      1,114
10 KFW  1.500%  6/11/24 EUR       7,146      8,649
10 KFW  0.875%  7/18/24 GBP         136        186
10 KFW  1.500%  7/24/24 AUD         493        371
10 KFW  0.125%  10/4/24 EUR      25,776     30,133
10 KFW  1.375%  12/9/24 GBP       4,137      5,721
10 KFW  0.625%  1/15/25 EUR      25,033     29,739
10 KFW  0.000%  2/18/25 EUR      20,000     23,291
99


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
10 KFW  4.000%  2/27/25 AUD      12,450     10,094
10 KFW  0.375%  4/23/25 EUR       9,227     10,884
10 KFW  5.500%  6/18/25 GBP       6,363     10,107
10 KFW  2.500%  8/25/25 CHF       3,365      4,077
10 KFW  0.250%  9/15/25 EUR       7,955      9,357
10 KFW  0.750%  2/19/26 CAD       3,796      2,961
10 KFW  0.375%   3/9/26 EUR      14,159     16,750
10 KFW  3.200%  9/11/26 AUD       7,692      6,139
10 KFW  0.000%  9/30/26 EUR      14,070     16,365
10 KFW  0.625%  2/22/27 EUR      12,091     14,501
10 KFW  0.000%  3/31/27 EUR       1,423      1,651
10 KFW  0.500%  9/15/27 EUR      20,682     24,695
10 KFW  0.000% 12/15/27 EUR      21,587     25,019
10 KFW  0.625%   1/7/28 EUR      12,727     15,327
10 KFW  3.200%  3/15/28 AUD       2,461      1,960
10 KFW  0.750%  6/28/28 EUR      31,663     38,507
10 KFW  0.000%  9/15/28 EUR       3,182      3,680
10 KFW  6.000%  12/7/28 GBP       3,182      5,801
10 KFW  0.750%  1/15/29 EUR      30,948     37,674
10 KFW  0.000%  6/15/29 EUR      20,000     23,039
10 KFW  0.000%  9/17/30 EUR       5,294      6,051
10 KFW  0.000%  1/10/31 EUR      30,000     34,294
10 KFW  5.750%   6/7/32 GBP       3,341      6,599
10 KFW  1.125%   5/9/33 EUR      12,409     15,780
10 KFW  0.050%  9/29/34 EUR       8,074      9,051
10 KFW  1.375%  7/31/35 EUR       4,455      5,880
10 KFW  0.375%  5/20/36 EUR       1,670      1,940
10 KFW  1.250%   7/4/36 EUR       7,319      9,559
10 KFW  4.875%  3/15/37 GBP         632      1,292
10 KFW  4.700%   6/2/37 CAD         748        755
10 KFW  1.125%  6/15/37 EUR       3,182      4,113
10 KFW  2.600%  6/20/37 JPY       5,000         60
10 KFW  0.875%   7/4/39 EUR       1,591      1,994
  Land Baden-Wuerttemberg  2.000% 11/13/23 EUR       2,545      3,079
  Land Baden-Wuerttemberg  0.625%  1/16/25 EUR       4,000      4,736
  Land Baden-Wuerttemberg  0.625%   2/9/27 EUR       3,182      3,797
  Land Baden-Wuerttemberg  0.800%   4/5/28 EUR       3,182      3,851
  Land Baden-Wuerttemberg  0.010%   7/9/32 EUR      10,182     11,409
  Land Berlin  0.750% 11/11/22 EUR       3,182      3,726
  Land Berlin  1.875%  6/12/23 EUR         573        686
  Land Berlin  0.500%  2/10/25 EUR       6,682      7,891
  Land Berlin  0.250%  4/22/25 EUR       3,182      3,726
  Land Berlin  0.625%  3/20/26 EUR      12,727     15,154
  Land Berlin  0.625%   2/8/27 EUR       1,782      2,129
  Land Berlin  0.010%  5/18/27 EUR      37,863     43,747
  Land Berlin  0.010% 10/26/28 EUR       8,591      9,870
  Land Berlin  0.010%   7/2/30 EUR       8,273      9,426
  Land Berlin  1.000%  5/19/32 EUR       4,773      5,917
  Land Berlin  1.300%  6/13/33 EUR         637        815
  Land Berlin  0.750%   4/3/34 EUR       6,520      7,863
  Land Berlin  0.125%   6/4/35 EUR       3,182      3,542
  Land Berlin  0.625%  8/25/36 EUR         795        943
  Land Berlin  1.375%   6/5/37 EUR       1,591      2,090
  Land Berlin  1.375%  8/27/38 EUR       1,591      2,107
  Land Berlin  0.050%   8/6/40 EUR      11,773     12,525
100


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Land Berlin  0.100%  1/18/41 EUR       2,100      2,249
  Land Thueringen  0.500%  5/12/25 EUR       1,432      1,691
  Land Thueringen  0.200% 10/26/26 EUR       4,773      5,580
  Land Thueringen  0.010%  3/24/31 EUR       5,000      5,659
  Land Thueringen  0.250%   3/5/40 EUR       2,609      2,889
  Landeskreditbank Baden-Wuerttemberg Foerderbank  4.250%   8/7/25 AUD       3,755      3,073
  Landeskreditbank Baden-Wuerttemberg Foerderbank  0.375%  4/13/26 EUR       4,773      5,606
10 Landwirtschaftliche Rentenbank  0.250% 11/24/22 EUR       3,182      3,708
10 Landwirtschaftliche Rentenbank  0.625% 12/15/22 GBP       1,273      1,741
10 Landwirtschaftliche Rentenbank  4.250%  1/24/23 AUD      17,060     13,383
10 Landwirtschaftliche Rentenbank  0.050%  6/12/23 EUR       4,773      5,558
10 Landwirtschaftliche Rentenbank  1.125% 12/15/23 GBP       3,575      4,913
10 Landwirtschaftliche Rentenbank  0.375%  1/22/24 EUR       9,222     10,817
10 Landwirtschaftliche Rentenbank  4.750%   4/8/24 AUD       1,270      1,033
10 Landwirtschaftliche Rentenbank  4.250%   1/9/25 AUD       5,250      4,277
10 Landwirtschaftliche Rentenbank  0.500%   3/6/25 EUR       7,319      8,645
10 Landwirtschaftliche Rentenbank  2.600%  3/23/27 AUD       1,500      1,159
10 Landwirtschaftliche Rentenbank  0.625%  5/18/27 EUR      10,277     12,314
10 Landwirtschaftliche Rentenbank  0.375%  2/14/28 EUR       3,182      3,763
10 Landwirtschaftliche Rentenbank  3.250%  4/12/28 AUD       1,390      1,110
10 Landwirtschaftliche Rentenbank  0.000%  7/19/28 EUR       4,000      4,615
10 Landwirtschaftliche Rentenbank  0.500%  2/28/29 EUR       8,475     10,121
10 Landwirtschaftliche Rentenbank  0.000% 11/27/29 EUR       3,182      3,648
10 Landwirtschaftliche Rentenbank  0.050% 12/18/29 EUR      20,000     23,013
10 Landwirtschaftliche Rentenbank  0.625%  2/20/30 EUR       6,363      7,661
  NRW Bank  0.100%  1/10/23 EUR       7,955      9,253
  NRW Bank  0.125%  3/10/23 EUR       1,600      1,862
  NRW Bank  0.375% 12/16/24 GBP      20,000     26,809
  NRW Bank  0.250%  3/10/25 EUR       4,773      5,579
  NRW Bank  0.625%  2/11/26 EUR       4,773      5,669
  NRW Bank  0.500%  5/11/26 EUR       3,819      4,512
  NRW Bank  0.250%  9/28/26 EUR       1,893      2,215
  NRW Bank  0.625%  2/23/27 EUR       4,773      5,691
  NRW Bank  0.125%  4/12/27 EUR       5,187      6,015
  NRW Bank  0.500%  9/13/27 EUR       4,773      5,649
  NRW Bank  0.625%   1/4/28 EUR       2,227      2,659
  NRW Bank  0.375%  5/16/29 EUR       2,307      2,702
  NRW Bank  0.100%   7/9/35 EUR       2,296      2,541
  NRW Bank  1.200%  3/28/39 EUR       5,000      6,408
  NRW Bank  0.500%  6/17/41 EUR      12,975     14,957
  NRW Bank  1.250%  5/13/49 EUR       3,182      4,395
  State of Brandenburg  0.750%   8/8/36 EUR       3,182      3,777
  State of Brandenburg  1.450% 11/26/38 EUR       4,486      6,006
  State of Brandenburg  0.300%  10/4/49 EUR         319        356
  State of Bremen  0.500%   3/3/25 EUR       4,137      4,882
  State of Bremen  1.500% 11/12/38 EUR       1,568      2,110
  State of Bremen  1.000%  5/27/39 EUR       3,979      4,986
  State of Bremen  0.500%   5/6/41 EUR       5,000      5,763
  State of Bremen  0.550%   2/4/50 EUR       6,530      7,729
  State of Hesse  1.750%  1/20/23 EUR         955      1,134
  State of Hesse  0.375%  3/10/23 EUR      12,091     14,124
  State of Hesse  0.125%  1/25/24 EUR         635        740
  State of Hesse  1.375%  6/10/24 EUR       1,273      1,532
  State of Hesse  0.125%  6/20/24 EUR       2,100      2,452
101


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  State of Hesse  0.500%  2/17/25 EUR       3,341      3,941
  State of Hesse  0.000%  3/10/25 EUR      10,000     11,612
  State of Hesse  0.250%  6/10/25 EUR       7,955      9,315
  State of Hesse  0.000%  4/14/26 EUR         573        664
  State of Hesse  0.375%   7/6/26 EUR      19,060     22,467
  State of Hesse  0.625%   8/2/28 EUR       3,182      3,814
  State of Hesse  0.000%  11/8/30 EUR       7,955      9,029
  State of Hesse  1.300% 10/10/33 EUR       2,545      3,276
  State of Hesse  0.750%   8/4/36 EUR       3,819      4,606
  State of Lower Saxony  0.050% 11/10/22 EUR       3,182      3,698
  State of Lower Saxony  0.375%  1/19/23 EUR       4,773      5,574
  State of Lower Saxony  0.125%   3/7/23 EUR       6,363      7,408
  State of Lower Saxony  2.125% 10/11/23 EUR         319        386
  State of Lower Saxony  0.000%   8/2/24 EUR       6,126      7,117
  State of Lower Saxony  0.625%  1/20/25 EUR       3,182      3,769
  State of Lower Saxony  0.125%   3/7/25 EUR       1,273      1,484
  State of Lower Saxony  0.500%  6/13/25 EUR       3,182      3,760
  State of Lower Saxony  0.375%   1/9/26 EUR       6,582      7,748
  State of Lower Saxony  0.500%   6/8/26 EUR         795        942
  State of Lower Saxony  0.010%   9/8/26 EUR      10,059     11,649
  State of Lower Saxony  0.000%  2/11/27 EUR       4,184      4,835
  State of Lower Saxony  0.125%   4/8/27 EUR         637        741
  State of Lower Saxony  0.625%   7/6/27 EUR       6,363      7,607
  State of Lower Saxony  0.750%  2/15/28 EUR       4,773      5,759
  State of Lower Saxony  0.010%  2/19/29 EUR       6,211      7,124
  State of Lower Saxony  0.375%  5/14/29 EUR       1,909      2,248
  State of Lower Saxony  0.125%  1/10/30 EUR       3,182      3,667
  State of Lower Saxony  0.010%  8/13/30 EUR      14,563     16,569
  State of Lower Saxony  0.050%   3/9/35 EUR       5,666      6,249
  State of North Rhine-Westphalia Germany  0.375%  2/16/23 EUR       1,368      1,597
  State of North Rhine-Westphalia Germany  0.200%  4/17/23 EUR       7,001      8,161
  State of North Rhine-Westphalia Germany  0.200%  2/16/24 EUR       9,503     11,097
  State of North Rhine-Westphalia Germany  1.875%  3/15/24 EUR         621        754
  State of North Rhine-Westphalia Germany  0.500%  3/11/25 EUR         955      1,127
  State of North Rhine-Westphalia Germany  2.000% 10/15/25 EUR         955      1,195
  State of North Rhine-Westphalia Germany  0.750%  1/16/26 EUR       4,773      5,705
  State of North Rhine-Westphalia Germany  0.250%  3/13/26 EUR      52,511     61,517
  State of North Rhine-Westphalia Germany  0.500%  4/16/26 EUR       3,182      3,770
  State of North Rhine-Westphalia Germany  0.500%  2/16/27 EUR       6,491      7,710
  State of North Rhine-Westphalia Germany  0.950%  3/13/28 EUR       8,909     10,885
  State of North Rhine-Westphalia Germany  0.000%  1/15/29 EUR       5,650      6,490
  State of North Rhine-Westphalia Germany  0.200%   4/9/30 EUR       2,506      2,905
  State of North Rhine-Westphalia Germany  1.625% 10/24/30 EUR       3,182      4,140
  State of North Rhine-Westphalia Germany  0.625%  7/21/31 EUR       4,773      5,718
  State of North Rhine-Westphalia Germany  2.375%  5/13/33 EUR      11,582     16,467
  State of North Rhine-Westphalia Germany  1.100%  3/13/34 EUR       8,594     10,785
  State of North Rhine-Westphalia Germany  0.000% 10/12/35 EUR      23,792     25,917
  State of North Rhine-Westphalia Germany  1.250%  5/12/36 EUR       4,455      5,717
  State of North Rhine-Westphalia Germany  1.650%  2/22/38 EUR       4,682      6,391
  State of North Rhine-Westphalia Germany  0.500% 11/25/39 EUR       4,000      4,640
  State of North Rhine-Westphalia Germany  1.500%  6/12/40 EUR       1,682      2,291
  State of North Rhine-Westphalia Germany  0.600%   6/4/41 EUR      10,000     11,804
  State of North Rhine-Westphalia Germany  0.750%  8/16/41 EUR         637        769
  State of North Rhine-Westphalia Germany  1.450%  2/16/43 EUR       1,591      2,190
  State of North Rhine-Westphalia Germany  1.650%  5/16/47 EUR       3,182      4,687
102


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  State of North Rhine-Westphalia Germany  1.550%  6/16/48 EUR       3,182      4,670
  State of North Rhine-Westphalia Germany  0.800%  7/30/49 EUR       8,265     10,395
  State of North Rhine-Westphalia Germany  0.200%  1/27/51 EUR      15,356     16,568
  State of North Rhine-Westphalia Germany  1.750% 10/26/57 EUR       5,091      8,240
  State of North Rhine-Westphalia Germany  1.750%  7/11/68 EUR       1,591      2,600
  State of North Rhine-Westphalia Germany  1.950%  9/26/78 EUR       5,950     10,733
  State of North Rhine-Westphalia Germany  2.150%  3/21/19 EUR       6,373     12,910
  State of North Rhine-Westphalia Germany  1.375%  1/15/20 EUR       8,497     12,544
  State of North Rhine-Westphalia Germany  0.950%  1/10/21 EUR       7,744      9,239
  State of Rhineland-Palatinate  0.500%  1/21/25 EUR       1,909      2,252
  State of Rhineland-Palatinate  0.100%  8/18/26 EUR       3,182      3,701
  State of Rhineland-Palatinate  0.375%  1/26/27 EUR       3,182      3,750
  State of Rhineland-Palatinate  0.700%  1/26/28 EUR       3,182      3,823
  State of Rhineland-Palatinate  0.010%  1/21/31 EUR      13,059     14,811
  State of Saxony-Anhalt  1.625%  4/25/23 EUR       1,273      1,516
  State of Saxony-Anhalt  1.875%  4/10/24 EUR       2,863      3,480
  State of Saxony-Anhalt  0.500%  6/25/27 EUR         795        943
  State of Schleswig-Holstein Germany  0.500%  5/19/26 EUR      13,014     15,412
  State of Schleswig-Holstein Germany  0.250%  4/18/28 EUR         637        745
  State of Schleswig-Holstein Germany  0.625%  8/31/28 EUR       2,180      2,612
  State of Schleswig-Holstein Germany  0.010%  5/22/30 EUR       6,500      7,404
  State of Schleswig-Holstein Germany  0.050%   7/8/31 EUR       5,000      5,670
  Wirtschafts- und Infrastrukturbank Hessen  1.750%  12/6/22 EUR         795        941
                   5,988,116
Hong Kong (0.0%)                           
  Hong Kong Government Bond Programme  1.100%  1/17/23 HKD       7,950      1,033
  Hong Kong Government Bond Programme  0.510% 10/23/23 HKD      57,650      7,422
  Hong Kong Government Bond Programme  0.360%  4/15/24 HKD      50,000      6,395
  Hong Kong Government Bond Programme  2.220%   8/7/24 HKD       9,600      1,287
  Hong Kong Government Bond Programme  1.680%  1/21/26 HKD       3,200        424
  Hong Kong Government Bond Programme  1.250%  6/29/27 HKD       1,950        252
  Hong Kong Government Bond Programme  1.970%  1/17/29 HKD      38,200      5,137
  Hong Kong Government Bond Programme  2.130%  7/16/30 HKD      31,900      4,338
  Hong Kong Government Bond Programme  1.890%   3/2/32 HKD       2,100        280
  Hong Kong Government Bond Programme  2.020%   3/7/34 HKD       8,800      1,192
                   27,760
Hungary (0.2%)                           
  Republic of Hungary  7.000%  6/24/22 HUF     169,910        564
  Republic of Hungary  1.750% 10/26/22 HUF     127,280        409
  Republic of Hungary  1.500%  8/23/23 HUF   1,078,960      3,453
  Republic of Hungary  6.000% 11/24/23 HUF     925,930      3,215
  Republic of Hungary  3.000%  6/26/24 HUF   2,000,000      6,495
  Republic of Hungary  2.500% 10/24/24 HUF   3,964,930     12,674
  Republic of Hungary  5.500%  6/24/25 HUF   1,921,030      6,714
  Republic of Hungary  1.250% 10/22/25 EUR       4,295      5,173
  Republic of Hungary  1.000% 11/26/25 HUF   1,197,010      3,566
  Republic of Hungary  1.500%  4/22/26 HUF   3,471,900     10,365
  Republic of Hungary  2.750% 12/22/26 HUF   2,211,390      6,896
  Republic of Hungary  1.750% 10/10/27 EUR       1,400      1,759
  Republic of Hungary  3.000% 10/27/27 HUF   6,339,040     19,782
2 Republic of Hungary  0.125%  9/21/28 EUR       2,500      2,811
  Republic of Hungary  6.750% 10/22/28 HUF     254,550        975
  Republic of Hungary  2.000%  5/23/29 HUF   1,283,180      3,663
  Republic of Hungary  3.000%  8/21/30 HUF   3,468,220     10,535
  Republic of Hungary  3.250% 10/22/31 HUF     302,280        925
103


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Hungary  1.625%  4/28/32 EUR      19,619     23,585
  Republic of Hungary  2.250%  4/20/33 HUF   2,016,420      5,462
  Republic of Hungary  1.750%   6/5/35 EUR       4,366      5,236
  Republic of Hungary  3.000% 10/27/38 HUF     954,560      2,601
  Republic of Hungary  3.000%  4/25/41 HUF   1,981,780      5,195
  Republic of Hungary  1.500% 11/17/50 EUR       2,418      2,571
                   144,624
Iceland (0.0%)                           
  Republic of Iceland  0.625%   6/3/26 EUR       1,456      1,715
Indonesia (1.0%)                           
  Indonesia Treasury Bond  5.625%  5/15/23 IDR 290,695,000     21,019
  Indonesia Treasury Bond  8.375%  3/15/24 IDR 490,255,000     37,811
  Indonesia Treasury Bond  8.125%  5/15/24 IDR 425,001,000     32,742
  Indonesia Treasury Bond  6.500%  6/15/25 IDR 671,224,000     49,798
  Indonesia Treasury Bond  7.250%  2/15/26 IDR  89,729,000      6,809
  Indonesia Treasury Bond  5.500%  4/15/26 IDR 565,174,000     40,471
  Indonesia Treasury Bond  8.375%  9/15/26 IDR 214,775,000     17,194
  Indonesia Treasury Bond  5.125%  4/15/27 IDR 100,000,000      7,127
  Indonesia Treasury Bond  7.000%  5/15/27 IDR 474,494,000     36,000
  Indonesia Treasury Bond  6.125%  5/15/28 IDR 459,141,000     33,058
  Indonesia Treasury Bond  9.000%  3/15/29 IDR  15,910,000      1,309
  Indonesia Treasury Bond  8.250%  5/15/29 IDR 433,579,000     34,510
  Indonesia Treasury Bond  7.000%  9/15/30 IDR 526,526,000     39,173
  Indonesia Treasury Bond  6.500%  2/15/31 IDR 689,542,000     49,640
  Indonesia Treasury Bond  8.750%  5/15/31 IDR 103,268,000      8,528
  Indonesia Treasury Bond  6.375%  4/15/32 IDR 150,000,000     10,841
  Indonesia Treasury Bond  7.500%  8/15/32 IDR 211,988,000     16,084
  Indonesia Treasury Bond  6.625%  5/15/33 IDR 483,865,000     34,371
  Indonesia Treasury Bond  8.375%  3/15/34 IDR 453,699,000     36,204
  Indonesia Treasury Bond  7.500%  6/15/35 IDR 331,648,000     24,798
  Indonesia Treasury Bond  8.250%  5/15/36 IDR 306,081,000     24,350
  Indonesia Treasury Bond  9.750%  5/15/37 IDR  41,442,000      3,680
  Indonesia Treasury Bond  7.500%  5/15/38 IDR 242,708,000     17,928
  Indonesia Treasury Bond  8.375%  4/15/39 IDR 326,707,000     25,995
  Indonesia Treasury Bond  7.500%  4/15/40 IDR 462,275,000     34,211
  Indonesia Treasury Bond  7.125%  6/15/42 IDR 103,045,000      7,478
  Indonesia Treasury Bond  7.375%  5/15/48 IDR 152,144,000     11,075
  Indonesia Treasury Bond  6.875%  8/15/51 IDR  24,176,000      1,713
  Republic of Indonesia  1.750%  4/24/25 EUR       4,264      5,110
  Republic of Indonesia  1.450%  9/18/26 EUR       1,407      1,674
  Republic of Indonesia  0.900%  2/14/27 EUR       2,027      2,339
  Republic of Indonesia  3.750%  6/14/28 EUR       5,950      8,010
  Republic of Indonesia  1.000%  7/28/29 EUR       3,000      3,396
  Republic of Indonesia  1.100%  3/12/33 EUR       3,010      3,335
                   687,781
Ireland (0.6%)                           
  Republic of Ireland  3.900%  3/20/23 EUR       7,307      8,964
  Republic of Ireland  3.400%  3/18/24 EUR      32,837     41,519
  Republic of Ireland  1.000%  5/15/26 EUR      29,257     35,740
  Republic of Ireland  0.200%  5/15/27 EUR      38,157     44,794
  Republic of Ireland  0.900%  5/15/28 EUR       7,281      8,910
  Republic of Ireland  1.100%  5/15/29 EUR      15,909     19,766
  Republic of Ireland  0.200% 10/18/30 EUR       7,955      9,191
  Republic of Ireland  1.350%  3/18/31 EUR      12,727     16,189
104


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Ireland  0.000% 10/18/31 EUR     126,393    141,390
  Republic of Ireland  1.300%  5/15/33 EUR       6,491      8,256
  Republic of Ireland  0.400%  5/15/35 EUR       7,116      8,157
  Republic of Ireland  1.700%  5/15/37 EUR       1,646      2,235
  Republic of Ireland  0.550%  4/22/41 EUR      58,026     65,640
  Republic of Ireland  2.000%  2/18/45 EUR       2,770      4,115
  Republic of Ireland  1.500%  5/15/50 EUR      16,713     22,607
                   437,473
Isle Of Man (0.0%)                           
  Isle of Man  1.625%  9/14/51 GBP       1,000      1,334
Israel (0.4%)                           
  State of Israel  1.250% 11/30/22 ILS      30,282      9,692
  State of Israel  4.250%  3/31/23 ILS      23,227      7,765
  State of Israel  1.500% 11/30/23 ILS      17,437      5,636
  State of Israel  2.875%  1/29/24 EUR       7,241      8,940
  State of Israel  3.750%  3/31/24 ILS      11,773      4,019
  State of Israel  0.400% 10/31/24 ILS      26,000      8,189
  State of Israel  0.500%  4/30/25 ILS      76,365     24,053
  State of Israel  1.750%  8/31/25 ILS      73,023     24,055
  State of Israel  6.250% 10/30/26 ILS      17,933      7,190
  State of Israel  1.500%  1/18/27 EUR       8,148     10,061
  State of Israel  2.000%  3/31/27 ILS      51,546     17,281
  State of Israel  2.250%  9/28/28 ILS     127,769     43,632
  State of Israel  1.500%  1/16/29 EUR       1,591      1,990
  State of Israel  1.000%  3/31/30 ILS      93,600     29,033
  State of Israel  1.500%  5/31/37 ILS      23,148      6,874
  State of Israel  5.500%  1/31/42 ILS      21,001     10,364
  State of Israel  3.750%  3/31/47 ILS      77,367     30,819
  State of Israel  2.500%  1/16/49 EUR       2,795      4,060
                   253,653
Italy (6.9%)                           
  Cassa Depositi e Prestiti SpA  2.125%  9/27/23 EUR       1,600      1,925
  Cassa Depositi e Prestiti SpA  1.500%  6/21/24 EUR       1,600      1,915
  Cassa Depositi e Prestiti SpA  1.500%   4/9/25 EUR       2,500      3,000
  Cassa Depositi e Prestiti SpA  1.875%   2/7/26 EUR       1,600      1,959
  Cassa Depositi e Prestiti SpA  2.000%  4/20/27 EUR       4,800      5,949
  Cassa Depositi e Prestiti SpA  1.000%  2/11/30 EUR       5,500      6,312
  Italy Buoni Poliennali Del Tesoro  1.000%  7/15/22 EUR       3,791      4,426
  Italy Buoni Poliennali Del Tesoro  0.000% 11/29/22 EUR     249,956    290,001
  Italy Buoni Poliennali Del Tesoro  0.950%   3/1/23 EUR      94,687    111,263
  Italy Buoni Poliennali Del Tesoro  0.600%  6/15/23 EUR      69,176     81,113
2 Italy Buoni Poliennali Del Tesoro  0.300%  8/15/23 EUR     153,522    179,099
  Italy Buoni Poliennali Del Tesoro  0.000%  1/30/24 EUR     401,453    464,335
  Italy Buoni Poliennali Del Tesoro  0.000%  4/15/24 EUR       7,143      8,250
  Italy Buoni Poliennali Del Tesoro  1.750%   7/1/24 EUR     122,861    148,501
  Italy Buoni Poliennali Del Tesoro  0.000%  8/15/24 EUR      75,000     86,459
  Italy Buoni Poliennali Del Tesoro  3.750%   9/1/24 EUR      18,742     23,927
2 Italy Buoni Poliennali Del Tesoro  1.850%   7/1/25 EUR     266,944    326,670
  Italy Buoni Poliennali Del Tesoro  2.500% 11/15/25 EUR       2,816      3,544
  Italy Buoni Poliennali Del Tesoro  0.500%   2/1/26 EUR      77,874     90,537
  Italy Buoni Poliennali Del Tesoro  0.000%   4/1/26 EUR      75,000     85,178
  Italy Buoni Poliennali Del Tesoro  1.600%   6/1/26 EUR      50,000     60,934
  Italy Buoni Poliennali Del Tesoro  2.100%  7/15/26 EUR     117,496    146,430
2 Italy Buoni Poliennali Del Tesoro  0.000%   8/1/26 EUR      31,554     35,711
105


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Italy Buoni Poliennali Del Tesoro  2.200%   6/1/27 EUR      34,269     43,188
  Italy Buoni Poliennali Del Tesoro  2.050%   8/1/27 EUR      94,383    118,063
2 Italy Buoni Poliennali Del Tesoro  0.950%  9/15/27 EUR      33,846     39,855
  Italy Buoni Poliennali Del Tesoro  6.500%  11/1/27 EUR          97        151
2 Italy Buoni Poliennali Del Tesoro  0.250%  3/15/28 EUR     294,394    330,411
2 Italy Buoni Poliennali Del Tesoro  0.500%  7/15/28 EUR      51,525     58,529
  Italy Buoni Poliennali Del Tesoro  3.000%   8/1/29 EUR     155,658    208,616
2 Italy Buoni Poliennali Del Tesoro  3.500%   3/1/30 EUR      54,518     75,926
  Italy Buoni Poliennali Del Tesoro  1.350%   4/1/30 EUR      42,955     51,136
2 Italy Buoni Poliennali Del Tesoro  1.650%  12/1/30 EUR     168,211    204,113
  Italy Buoni Poliennali Del Tesoro  0.900%   4/1/31 EUR      96,381    109,376
2 Italy Buoni Poliennali Del Tesoro  0.600%   8/1/31 EUR     160,764    176,571
2 Italy Buoni Poliennali Del Tesoro  0.950%  12/1/31 EUR      22,000     24,920
2 Italy Buoni Poliennali Del Tesoro  1.650%   3/1/32 EUR      40,890     49,367
2 Italy Buoni Poliennali Del Tesoro  2.450%   9/1/33 EUR      71,019     92,273
2 Italy Buoni Poliennali Del Tesoro  3.350%   3/1/35 EUR     126,531    180,487
2 Italy Buoni Poliennali Del Tesoro  1.450%   3/1/36 EUR      35,000     40,471
2 Italy Buoni Poliennali Del Tesoro  4.000%   2/1/37 EUR      13,944     21,581
2 Italy Buoni Poliennali Del Tesoro  0.950%   3/1/37 EUR     157,992    168,980
2 Italy Buoni Poliennali Del Tesoro  2.950%   9/1/38 EUR      38,243     53,339
2 Italy Buoni Poliennali Del Tesoro  3.100%   3/1/40 EUR      31,248     44,571
2 Italy Buoni Poliennali Del Tesoro  5.000%   9/1/40 EUR       5,533      9,901
2 Italy Buoni Poliennali Del Tesoro  1.800%   3/1/41 EUR     127,197    149,866
2 Italy Buoni Poliennali Del Tesoro  4.750%   9/1/44 EUR      32,767     59,344
2 Italy Buoni Poliennali Del Tesoro  1.500%  4/30/45 EUR      69,641     76,746
2 Italy Buoni Poliennali Del Tesoro  3.250%   9/1/46 EUR      25,271     37,698
2 Italy Buoni Poliennali Del Tesoro  2.700%   3/1/47 EUR      82,000    111,948
2 Italy Buoni Poliennali Del Tesoro  3.850%   9/1/49 EUR      41,329     68,746
2 Italy Buoni Poliennali Del Tesoro  2.450%   9/1/50 EUR      51,964     67,908
2 Italy Buoni Poliennali Del Tesoro  1.700%   9/1/51 EUR      27,302     30,337
2 Italy Buoni Poliennali Del Tesoro  2.800%   3/1/67 EUR      32,561     43,834
  Republic of Italy  6.000%   8/4/28 GBP       3,786      6,495
                   4,922,185
Japan (16.1%)                           
  Deposit Insurance Corp. of Japan  0.100%   8/6/24 JPY     800,000      7,027
  Deposit Insurance Corp. of Japan  0.100% 12/10/24 JPY   1,500,000     13,177
  Development Bank of Japan Inc.  0.645%  3/18/24 JPY     159,500      1,421
  Development Bank of Japan Inc.  0.466% 12/12/24 JPY     190,900      1,699
  Development Bank of Japan Inc.  0.450%  3/13/25 JPY     127,300      1,134
  Development Bank of Japan Inc.  0.425%  9/11/25 JPY     240,900      2,148
  Development Bank of Japan Inc.  0.875% 10/10/25 EUR      15,000     17,838
  Development Bank of Japan Inc.  0.020%  3/16/26 JPY      14,500        127
  Fukuoka Prefecture  0.432%  6/18/49 JPY     110,000        904
  Japan  0.100%  11/1/22 JPY   1,772,800     15,577
  Japan  0.100% 12/20/22 JPY   7,668,250     67,390
  Japan  0.700% 12/20/22 JPY   1,280,700     11,331
  Japan  0.800% 12/20/22 JPY     828,900      7,342
  Japan  1.400% 12/20/22 JPY   2,068,250     18,443
  Japan  1.700% 12/20/22 JPY   1,113,650      9,964
  Japan  0.100%   1/1/23 JPY   6,363,750     55,929
  Japan  0.100%   2/1/23 JPY   8,646,950     76,004
  Japan  0.100%   3/1/23 JPY  14,758,550    129,740
  Japan  0.100%  3/20/23 JPY   8,666,450     76,192
  Japan  0.600%  3/20/23 JPY   3,824,600     33,856
  Japan  1.000%  3/20/23 JPY     168,650      1,501
106


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  0.005%   4/1/23 JPY  14,464,650    127,002
  Japan  0.005%   5/1/23 JPY   4,500,000     39,513
  Japan  0.005%   6/1/23 JPY  14,500,000    127,325
  Japan  0.100%  6/20/23 JPY  10,913,800     95,986
  Japan  0.800%  6/20/23 JPY   4,363,450     38,813
  Japan  0.800%  6/20/23 JPY     190,950      1,699
  Japan  1.800%  6/20/23 JPY     795,500      7,190
  Japan  0.005%   7/1/23 JPY   6,700,000     58,838
  Japan  0.005%   8/1/23 JPY  11,000,000     96,708
  Japan  0.005%   9/1/23 JPY   7,000,000     61,479
  Japan  0.100%  9/20/23 JPY   5,584,150     49,131
  Japan  0.600%  9/20/23 JPY     318,200      2,826
  Japan  0.800%  9/20/23 JPY     399,650      3,562
  Japan  1.900%  9/20/23 JPY     972,100      8,842
  Japan  0.100% 12/20/23 JPY   7,195,350     63,331
  Japan  0.600% 12/20/23 JPY   4,982,800     44,323
  Japan  1.900% 12/20/23 JPY     572,600      5,233
  Japan  0.100%  3/20/24 JPY   8,366,900     73,671
  Japan  0.600%  3/20/24 JPY   6,010,550     53,552
  Japan  1.900%  3/20/24 JPY     159,100      1,461
  Japan  0.100%  6/20/24 JPY   8,029,750     70,730
  Japan  0.600%  6/20/24 JPY     225,950      2,016
  Japan  0.100%  9/20/24 JPY   8,956,950     78,927
  Japan  0.500%  9/20/24 JPY   4,040,950     36,017
  Japan  2.100%  9/20/24 JPY     415,250      3,869
  Japan  0.100% 12/20/24 JPY   7,113,050     62,703
  Japan  0.300% 12/20/24 JPY   3,200,950     28,393
  Japan  0.500% 12/20/24 JPY   2,459,600     21,952
  Japan  0.100%  3/20/25 JPY   5,090,950     44,895
  Japan  0.400%  3/20/25 JPY   3,138,900     27,960
  Japan  2.000%  3/20/25 JPY      23,900        224
  Japan  0.100%  6/20/25 JPY   6,841,000     60,350
  Japan  0.400%  6/20/25 JPY   2,640,950     23,551
  Japan  1.900%  6/20/25 JPY     365,950      3,439
  Japan  2.100%  6/20/25 JPY     954,550      9,030
  Japan  0.100%  9/20/25 JPY  21,622,900    190,829
  Japan  0.400%  9/20/25 JPY   1,016,600      9,076
  Japan  2.100%  9/20/25 JPY      63,650        605
  Japan  0.100% 12/20/25 JPY  24,178,000    213,457
  Japan  0.300% 12/20/25 JPY   7,222,850     64,292
  Japan  2.000% 12/20/25 JPY   1,062,750     10,115
  Japan  0.005%  3/20/26 JPY  27,050,000    237,910
  Japan  0.100%  3/20/26 JPY   1,622,750     14,332
  Japan  2.100%  3/20/26 JPY     273,650      2,628
  Japan  2.200%  3/20/26 JPY     254,550      2,454
  Japan  0.005%  6/20/26 JPY  33,800,000    297,306
  Japan  0.100%  6/20/26 JPY   1,728,800     15,274
  Japan  0.100%  9/20/26 JPY   2,214,850     19,575
  Japan  2.200%  9/20/26 JPY      19,150        186
  Japan  2.300%  9/20/26 JPY      11,150        109
  Japan  0.100% 12/20/26 JPY   4,122,100     36,444
  Japan  2.100% 12/20/26 JPY   1,590,950     15,499
  Japan  0.100%  3/20/27 JPY   3,574,850     31,612
  Japan  2.000%  3/20/27 JPY     318,200      3,100
  Japan  2.100%  3/20/27 JPY     111,400      1,090
107


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  0.100%  6/20/27 JPY   2,699,850     23,883
  Japan  2.300%  6/20/27 JPY       6,400         64
  Japan  0.100%  9/20/27 JPY   3,753,250     33,208
  Japan  2.200%  9/20/27 JPY       4,800         48
  Japan  0.100% 12/20/27 JPY   4,258,000     37,681
  Japan  2.100% 12/20/27 JPY     713,100      7,079
  Japan  0.100%  3/20/28 JPY   2,615,500     23,149
  Japan  2.200%  3/20/28 JPY   1,256,850     12,604
  Japan  2.400%  3/20/28 JPY   1,861,400     18,874
  Japan  0.100%  6/20/28 JPY   2,784,150     24,645
  Japan  2.400%  6/20/28 JPY     327,750      3,340
  Japan  0.100%  9/20/28 JPY   4,365,600     38,648
  Japan  2.100%  9/20/28 JPY   1,949,200     19,612
  Japan  2.200%  9/20/28 JPY     381,850      3,865
  Japan  0.100% 12/20/28 JPY   8,206,200     72,645
  Japan  1.900% 12/20/28 JPY   2,303,700     22,990
  Japan  2.100% 12/20/28 JPY     190,950      1,930
  Japan  0.100%  3/20/29 JPY  13,683,050    121,107
  Japan  1.900%  3/20/29 JPY   1,320,500     13,228
  Japan  2.100%  3/20/29 JPY   1,436,000     14,571
  Japan  0.100%  6/20/29 JPY  11,743,250    103,916
  Japan  2.100%  6/20/29 JPY   1,759,600     17,927
  Japan  0.100%  9/20/29 JPY  12,846,150    113,639
  Japan  2.100%  9/20/29 JPY   2,730,050     27,927
  Japan  2.800%  9/20/29 JPY     859,150      9,205
  Japan  0.100% 12/20/29 JPY  12,807,000    113,240
  Japan  2.100% 12/20/29 JPY   2,386,400     24,504
  Japan  2.200% 12/20/29 JPY   1,826,400     18,884
  Japan  0.100%  3/20/30 JPY  13,002,650    114,891
  Japan  2.100%  3/20/30 JPY      25,500        263
  Japan  2.200%  3/20/30 JPY   2,004,600     20,807
  Japan  2.300%  5/20/30 JPY      54,100        567
  Japan  0.100%  6/20/30 JPY  10,651,300     94,043
  Japan  1.600%  6/20/30 JPY     181,400      1,808
  Japan  1.800%  6/20/30 JPY      12,750        129
  Japan  2.000%  6/20/30 JPY   1,590,950     16,334
  Japan  0.100%  9/20/30 JPY  15,139,200    133,560
  Japan  1.800%  9/20/30 JPY     445,500      4,520
  Japan  1.900%  9/20/30 JPY   1,390,500     14,215
  Japan  0.100% 12/20/30 JPY  27,840,000    245,386
  Japan  2.000% 12/20/30 JPY     954,550      9,863
  Japan  2.100% 12/20/30 JPY   2,599,600     27,068
  Japan  0.100%  3/20/31 JPY  26,861,650    236,497
  Japan  1.900%  3/20/31 JPY   1,909,150     19,629
  Japan  2.000%  3/20/31 JPY   3,875,500     40,164
  Japan  2.200%  3/20/31 JPY     159,100      1,675
  Japan  0.100%  6/20/31 JPY  34,400,000    302,481
  Japan  1.800%  6/20/31 JPY   1,481,200     15,146
  Japan  1.900%  6/20/31 JPY   1,893,250     19,518
  Japan  0.100%  9/20/31 JPY   1,639,500     14,392
  Japan  1.700%  9/20/31 JPY   7,954,650     80,851
  Japan  1.800%  9/20/31 JPY   2,410,250     24,706
  Japan  1.700% 12/20/31 JPY   2,131,850     21,718
  Japan  1.800% 12/20/31 JPY   8,838,000     90,819
  Japan  1.600%  3/20/32 JPY   2,847,750     28,826
108


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  1.700%  3/20/32 JPY   1,018,200     10,399
  Japan  1.800%  3/20/32 JPY     359,600      3,705
  Japan  1.500%  6/20/32 JPY   2,004,600     20,149
  Japan  1.600%  6/20/32 JPY     988,900     10,032
  Japan  1.700%  9/20/32 JPY   4,705,650     48,284
  Japan  1.700% 12/20/32 JPY   3,573,200     36,746
  Japan  1.800% 12/20/32 JPY   1,909,150     19,818
  Japan  1.500%  3/20/33 JPY   3,965,600     40,088
  Japan  1.600%  3/20/33 JPY   3,361,350     34,313
  Japan  1.700%  6/20/33 JPY     493,200      5,094
  Japan  1.700%  6/20/33 JPY   4,574,150     47,246
  Japan  1.700%  9/20/33 JPY   4,359,450     45,124
  Japan  1.600% 12/20/33 JPY   3,468,250     35,608
  Japan  2.000% 12/20/33 JPY     159,100      1,700
  Japan  1.500%  3/20/34 JPY   4,290,800     43,675
  Japan  2.400%  3/20/34 JPY   1,177,300     13,120
  Japan  1.500%  6/20/34 JPY   4,330,050     44,142
  Japan  2.500%  6/20/34 JPY     640,550      7,231
  Japan  1.400%  9/20/34 JPY   8,290,950     83,728
  Japan  2.500%  9/20/34 JPY     127,300      1,442
  Japan  1.200% 12/20/34 JPY   5,027,800     49,699
  Japan  2.400% 12/20/34 JPY     731,850      8,231
  Japan  1.200%  3/20/35 JPY   5,520,550     54,618
  Japan  2.300%  3/20/35 JPY     795,500      8,881
  Japan  1.300%  6/20/35 JPY   4,123,700     41,315
  Japan  2.300%  6/20/35 JPY   1,139,100     12,752
  Japan  1.200%  9/20/35 JPY   7,690,950     76,209
  Japan  2.500%  9/20/35 JPY     318,200      3,648
  Japan  1.000% 12/20/35 JPY   7,289,600     70,510
  Japan  2.300% 12/20/35 JPY     798,650      8,988
  Japan  0.400%  3/20/36 JPY   6,956,750     62,147
  Japan  2.500%  3/20/36 JPY     702,600      8,101
  Japan  0.200%  6/20/36 JPY   5,636,450     48,879
  Japan  2.500%  6/20/36 JPY     461,400      5,335
  Japan  0.500%  9/20/36 JPY   9,036,900     81,698
  Japan  2.500%  9/20/36 JPY     190,950      2,214
  Japan  0.600% 12/20/36 JPY  11,677,350    106,989
  Japan  2.300% 12/20/36 JPY     257,100      2,922
  Japan  0.700%  3/20/37 JPY  12,453,750    115,675
  Japan  2.400%  3/20/37 JPY   1,149,950     13,256
  Japan  0.600%  6/20/37 JPY   6,424,600     58,788
  Japan  0.600%  9/20/37 JPY   8,246,650     75,410
  Japan  2.500%  9/20/37 JPY       5,450         64
  Japan  0.600% 12/20/37 JPY   5,856,400     53,513
  Japan  0.500%  3/20/38 JPY  14,226,100    127,907
  Japan  2.500%  3/20/38 JPY     928,150     10,937
  Japan  0.500%  6/20/38 JPY   8,759,650     78,674
  Japan  0.700%  9/20/38 JPY   5,733,700     53,087
  Japan  2.400%  9/20/38 JPY     805,650      9,425
  Japan  0.500% 12/20/38 JPY   7,989,700     71,600
  Japan  0.400%  3/20/39 JPY   8,081,600     71,148
  Japan  2.300%  3/20/39 JPY   1,434,400     16,646
  Japan  0.300%  6/20/39 JPY   6,949,150     60,038
  Japan  0.300%  9/20/39 JPY   6,023,850     51,951
  Japan  2.200%  9/20/39 JPY   2,840,750     32,671
109


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  0.300% 12/20/39 JPY   5,900,050     50,792
  Japan  0.400%  3/20/40 JPY   7,383,700     64,593
  Japan  2.300%  3/20/40 JPY   1,457,300     17,047
  Japan  0.400%  6/20/40 JPY   9,039,200     78,962
  Japan  0.400%  9/20/40 JPY  11,814,200    103,031
  Japan  2.000%  9/20/40 JPY   5,721,650     64,448
  Japan  0.500% 12/20/40 JPY  17,498,950    155,148
  Japan  0.500%  3/20/41 JPY  18,145,000    160,637
  Japan  2.200%  3/20/41 JPY   4,221,700     49,049
  Japan  0.400%  6/20/41 JPY  21,950,000    190,428
  Japan  0.500%  9/20/41 JPY   2,500,000     22,040
  Japan  2.000%  9/20/41 JPY   4,103,650     46,455
  Japan  2.000%  3/20/42 JPY   4,845,000     55,032
  Japan  1.900%  9/20/42 JPY   6,023,900     67,620
  Japan  1.800%  3/20/43 JPY   2,620,250     29,040
  Japan  1.900%  6/20/43 JPY   2,356,350     26,576
  Japan  1.800%  9/20/43 JPY   1,644,700     18,279
  Japan  1.700% 12/20/43 JPY   1,664,700     18,220
  Japan  1.700%  3/20/44 JPY   3,034,450     33,251
  Japan  1.700%  6/20/44 JPY   2,038,150     22,358
  Japan  1.700%  9/20/44 JPY   4,370,700     47,999
  Japan  1.500% 12/20/44 JPY   3,313,900     35,168
  Japan  1.500%  3/20/45 JPY   4,065,300     43,175
  Japan  1.600%  6/20/45 JPY   1,336,400     14,463
  Japan  1.400%  9/20/45 JPY   1,260,050     13,154
  Japan  1.400% 12/20/45 JPY   2,221,400     23,201
  Japan  0.800%  3/20/46 JPY   4,188,200     38,748
  Japan  0.300%  6/20/46 JPY   4,245,500     34,977
  Japan  0.500%  9/20/46 JPY   4,760,100     41,080
  Japan  0.600% 12/20/46 JPY   3,388,700     29,900
  Japan  0.800%  3/20/47 JPY   4,467,150     41,220
  Japan  0.800%  6/20/47 JPY   4,472,550     41,241
  Japan  0.800%  9/20/47 JPY   4,496,900     41,435
  Japan  0.800% 12/20/47 JPY   6,615,300     60,908
  Japan  0.800%  3/20/48 JPY   7,348,650     67,612
  Japan  2.400%  3/20/48 JPY     254,550      3,213
  Japan  0.700%  6/20/48 JPY   6,711,450     60,255
  Japan  0.900%  9/20/48 JPY   4,261,950     40,077
  Japan  0.700% 12/20/48 JPY   4,454,150     39,908
  Japan  0.500%  3/20/49 JPY   4,704,400     40,031
  Japan  2.200%  3/20/49 JPY     517,050      6,339
  Japan  0.400%  6/20/49 JPY   5,297,350     43,830
  Japan  0.400%  9/20/49 JPY   4,976,450     41,080
  Japan  0.400% 12/20/49 JPY   4,235,700     34,902
  Japan  0.400%  3/20/50 JPY   5,468,700     44,980
  Japan  2.200%  3/20/50 JPY     712,750      8,783
  Japan  0.600%  6/20/50 JPY   7,544,400     65,428
  Japan  0.600%  9/20/50 JPY   5,823,400     50,433
  Japan  0.700% 12/20/50 JPY   9,809,400     87,113
  Japan  0.700%  3/20/51 JPY  10,902,350     96,705
  Japan  2.200%  3/20/51 JPY     973,000     12,046
  Japan  0.700%  6/20/51 JPY  13,600,000    120,450
  Japan  0.700%  9/20/51 JPY   1,800,000     15,900
  Japan  2.000%  3/20/52 JPY   2,546,400     30,477
  Japan  1.900%  3/20/53 JPY   1,012,500     11,951
110


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan  1.700%  3/20/54 JPY   2,283,000     25,958
  Japan  1.400%  3/20/55 JPY   2,445,250     26,033
  Japan  0.400%  3/20/56 JPY   5,108,000     40,882
  Japan  0.900%  3/20/57 JPY   4,085,950     38,201
  Japan  0.800%  3/20/58 JPY   4,674,750     42,408
  Japan  0.500%  3/20/59 JPY   6,642,250     54,498
  Japan  0.500%  3/20/60 JPY  10,951,550     89,549
  Japan  0.700%  3/20/61 JPY   5,455,000     47,765
  Japan Expressway Holding and Debt Repayment Agency  0.765%  9/20/22 JPY      60,000        530
  Japan Expressway Holding and Debt Repayment Agency  0.796%  9/20/22 JPY     100,000        883
  Japan Expressway Holding and Debt Repayment Agency  0.805% 11/30/22 JPY     499,200      4,418
  Japan Expressway Holding and Debt Repayment Agency  0.834%  1/31/23 JPY     286,400      2,539
  Japan Expressway Holding and Debt Repayment Agency  0.815%  2/28/23 JPY     177,500      1,574
  Japan Expressway Holding and Debt Repayment Agency  0.668%  3/17/23 JPY     254,600      2,254
  Japan Expressway Holding and Debt Repayment Agency  0.541%  4/28/23 JPY     254,600      2,252
  Japan Expressway Holding and Debt Repayment Agency  0.882%  6/30/23 JPY     260,000      2,315
  Japan Expressway Holding and Debt Repayment Agency  0.911%  7/31/23 JPY     413,700      3,688
  Japan Expressway Holding and Debt Repayment Agency  0.801%  9/29/23 JPY      15,300        136
  Japan Expressway Holding and Debt Repayment Agency  0.669% 11/30/23 JPY     318,200      2,831
  Japan Expressway Holding and Debt Repayment Agency  0.693% 12/28/23 JPY     159,100      1,417
  Japan Expressway Holding and Debt Repayment Agency  0.660%  2/29/24 JPY     636,400      5,670
  Japan Expressway Holding and Debt Repayment Agency  0.645%  3/29/24 JPY     318,200      2,835
  Japan Expressway Holding and Debt Repayment Agency  0.669%  4/30/24 JPY     318,200      2,839
  Japan Expressway Holding and Debt Repayment Agency  0.660%  5/31/24 JPY     333,500      2,976
  Japan Expressway Holding and Debt Repayment Agency  0.601%  7/31/24 JPY     636,400      5,676
  Japan Expressway Holding and Debt Repayment Agency  0.544%  9/30/24 JPY       8,000         71
  Japan Expressway Holding and Debt Repayment Agency  0.539% 10/31/24 JPY     318,200      2,837
  Japan Expressway Holding and Debt Repayment Agency  0.495% 11/29/24 JPY     483,700      4,308
  Japan Expressway Holding and Debt Repayment Agency  0.466% 12/27/24 JPY     636,400      5,665
  Japan Expressway Holding and Debt Repayment Agency  0.320%  1/31/25 JPY     127,300      1,128
  Japan Expressway Holding and Debt Repayment Agency  0.414%  2/28/25 JPY     130,100      1,157
  Japan Expressway Holding and Debt Repayment Agency  0.450%  3/31/25 JPY     159,100      1,417
  Japan Expressway Holding and Debt Repayment Agency  0.509%  5/30/25 JPY     184,600      1,649
111


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan Expressway Holding and Debt Repayment Agency  0.557%  7/31/25 JPY       4,500         40
  Japan Expressway Holding and Debt Repayment Agency  0.440%  8/29/25 JPY      20,400        182
  Japan Expressway Holding and Debt Repayment Agency  0.320%  1/30/26 JPY     239,000      2,125
  Japan Expressway Holding and Debt Repayment Agency  2.450%  3/19/26 JPY      50,000        485
  Japan Expressway Holding and Debt Repayment Agency  2.280%  4/20/27 JPY      20,000        197
  Japan Expressway Holding and Debt Repayment Agency  0.140%  4/30/27 JPY     741,100      6,542
  Japan Expressway Holding and Debt Repayment Agency  0.110%  5/31/27 JPY       3,500         31
  Japan Expressway Holding and Debt Repayment Agency  0.130%  6/30/27 JPY      95,500        843
  Japan Expressway Holding and Debt Repayment Agency  0.155%  8/31/27 JPY     190,900      1,687
  Japan Expressway Holding and Debt Repayment Agency  0.090%  9/30/27 JPY     944,700      8,316
  Japan Expressway Holding and Debt Repayment Agency  2.340% 10/20/27 JPY     230,000      2,288
  Japan Expressway Holding and Debt Repayment Agency  0.170% 10/29/27 JPY     381,900      3,377
  Japan Expressway Holding and Debt Repayment Agency  0.160% 11/30/27 JPY     190,900      1,687
  Japan Expressway Holding and Debt Repayment Agency  2.250% 12/20/27 JPY      30,000        298
  Japan Expressway Holding and Debt Repayment Agency  0.185%  1/31/28 JPY     192,600      1,705
  Japan Expressway Holding and Debt Repayment Agency  2.420%  6/20/28 JPY     280,000      2,832
  Japan Expressway Holding and Debt Repayment Agency  2.370%  9/20/28 JPY      30,000        305
  Japan Expressway Holding and Debt Repayment Agency  2.410%  4/20/29 JPY     110,000      1,134
  Japan Expressway Holding and Debt Repayment Agency  2.100% 12/28/29 JPY     200,000      2,041
  Japan Expressway Holding and Debt Repayment Agency  1.427%  7/31/34 JPY     300,000      3,015
  Japan Expressway Holding and Debt Repayment Agency  1.338% 10/31/34 JPY   1,600,000     15,945
  Japan Expressway Holding and Debt Repayment Agency  0.970%  1/31/35 JPY     600,000      5,735
  Japan Expressway Holding and Debt Repayment Agency  1.240%  7/31/35 JPY     200,000      1,977
  Japan Expressway Holding and Debt Repayment Agency  0.934%  1/31/36 JPY   1,100,000     10,479
  Japan Expressway Holding and Debt Repayment Agency  0.149%  7/31/36 JPY     700,000      5,975
  Japan Expressway Holding and Debt Repayment Agency  0.397% 10/31/36 JPY     600,000      5,301
  Japan Expressway Holding and Debt Repayment Agency  0.591%  1/29/38 JPY     600,000      5,429
  Japan Expressway Holding and Debt Repayment Agency  0.538%  5/31/38 JPY     200,000      1,792
  Japan Expressway Holding and Debt Repayment Agency  0.625%  8/31/38 JPY     400,000      3,630
112


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Japan Expressway Holding and Debt Repayment Agency  0.625%  9/30/38 JPY     200,000      1,814
  Japan Expressway Holding and Debt Repayment Agency  2.960%  3/19/46 JPY     110,000      1,453
  Japan Expressway Holding and Debt Repayment Agency  2.870% 12/20/46 JPY      20,000        262
  Japan Expressway Holding and Debt Repayment Agency  2.700%  3/20/48 JPY     650,000      8,374
  Japan Expressway Holding and Debt Repayment Agency  0.686%  7/31/48 JPY     100,000        883
  Japan Expressway Holding and Debt Repayment Agency  0.542%  5/31/49 JPY     300,000      2,538
  Japan Expressway Holding and Debt Repayment Agency  0.422% 12/28/49 JPY     500,000      4,098
  Japan Expressway Holding and Debt Repayment Agency  0.306%  3/31/50 JPY     200,000      1,584
  Japan Expressway Holding and Debt Repayment Agency  1.861%  3/19/55 JPY     770,000      8,654
  Japan Finance Corp.  0.001%  7/31/24 JPY     650,000      5,696
  Japan Finance Organization for Municipalities  0.815%  2/17/23 JPY     477,300      4,230
  Japan Finance Organization for Municipalities  0.668%  3/17/23 JPY     117,700      1,042
  Japan Finance Organization for Municipalities  0.678%  3/28/23 JPY     160,000      1,416
  Japan Finance Organization for Municipalities  0.576%  4/28/23 JPY     260,000      2,299
  Japan Finance Organization for Municipalities  0.882%  6/16/23 JPY     318,200      2,832
  Japan Finance Organization for Municipalities  0.311%  7/28/23 JPY     580,000      5,117
  Japan Finance Organization for Municipalities  0.922%  7/28/23 JPY     100,000        891
  Japan Finance Organization for Municipalities  0.835%  8/14/23 JPY      17,200        153
  Japan Finance Organization for Municipalities  0.801%  9/15/23 JPY      15,900        142
  Japan Finance Organization for Municipalities  0.669% 11/17/23 JPY     502,500      4,470
  Japan Finance Organization for Municipalities  0.660%  2/16/24 JPY     318,200      2,832
  Japan Finance Organization for Municipalities  0.669%  4/12/24 JPY     493,200      4,401
  Japan Finance Organization for Municipalities  0.660%  5/21/24 JPY     973,000      8,681
  Japan Finance Organization for Municipalities  0.391%  4/25/25 JPY      71,600        636
  Japan Finance Organization for Municipalities  0.484%  6/13/25 JPY      64,400        575
  Japan Finance Organization for Municipalities  0.320%  1/19/26 JPY     318,200      2,828
  Japan Finance Organization for Municipalities  0.145%  2/16/26 JPY      28,700        253
  Japan Finance Organization for Municipalities  0.020%  3/13/26 JPY      47,700        419
  Japan Finance Organization for Municipalities  0.140%  4/16/27 JPY      79,600        703
  Japan Finance Organization for Municipalities  0.110%  5/21/27 JPY     477,300      4,207
  Japan Finance Organization for Municipalities  0.160%  7/16/27 JPY     318,200      2,812
  Japan Finance Organization for Municipalities  0.170% 10/15/27 JPY     318,200      2,814
  Japan Finance Organization for Municipalities  0.160% 11/15/27 JPY     636,400      5,625
  Japan Finance Organization for Municipalities  0.185%  1/21/28 JPY     636,400      5,635
  Japan Finance Organization for Municipalities  2.290%  4/27/29 JPY      20,000        204
  Japan Finance Organization for Municipalities  2.220%  1/28/30 JPY   1,320,000     13,566
  Japan Finance Organization for Municipalities  0.224%  3/28/31 JPY      50,000        441
  Japan Highway Public Corp.  1.540% 12/20/22 JPY     160,000      1,428
  Japan Housing Finance Agency  0.075% 10/20/26 JPY   1,340,000     11,766
  Major Joint Local Government Bond  0.800% 11/25/22 JPY      79,600        704
  Major Joint Local Government Bond  0.720% 12/22/22 JPY     127,300      1,126
  Major Joint Local Government Bond  0.840%  1/25/23 JPY      44,600        395
  Major Joint Local Government Bond  0.680%  3/24/23 JPY     222,800      1,973
  Major Joint Local Government Bond  0.910%  7/25/23 JPY     159,100      1,418
  Major Joint Local Government Bond  0.820%  8/25/23 JPY      28,700        256
  Major Joint Local Government Bond  0.680% 10/25/23 JPY      63,700        566
  Major Joint Local Government Bond  0.660% 11/24/23 JPY     458,200      4,074
113


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Major Joint Local Government Bond  0.710% 12/25/23 JPY   1,177,300     10,483
  Major Joint Local Government Bond  0.760%  1/25/24 JPY     477,300      4,257
  Major Joint Local Government Bond  0.689%  4/25/24 JPY      79,600        710
  Major Joint Local Government Bond  0.674%  5/24/24 JPY     127,300      1,136
  Major Joint Local Government Bond  0.659%  6/25/24 JPY     254,500      2,271
  Major Joint Local Government Bond  0.611%  7/25/24 JPY     299,200      2,668
  Major Joint Local Government Bond  0.566%  8/23/24 JPY     159,100      1,417
  Major Joint Local Government Bond  0.554%  9/25/24 JPY     477,300      4,253
  Major Joint Local Government Bond  0.456% 12/25/24 JPY     763,700      6,794
  Major Joint Local Government Bond  0.448%  2/25/25 JPY     731,900      6,512
  Major Joint Local Government Bond  0.470%  3/25/25 JPY     556,900      4,960
  Major Joint Local Government Bond  0.406%  4/25/25 JPY   1,161,400     10,326
  Major Joint Local Government Bond  0.553%  5/23/25 JPY   1,622,800     14,507
  Major Joint Local Government Bond  0.548%  6/25/25 JPY     827,300      7,398
  Major Joint Local Government Bond  0.553%  7/25/25 JPY     395,800      3,542
  Major Joint Local Government Bond  0.500%  8/25/25 JPY     509,100      4,549
  Major Joint Local Government Bond  0.510%  9/25/25 JPY     690,700      6,176
  Major Joint Local Government Bond  0.496% 11/25/25 JPY     318,200      2,846
  Major Joint Local Government Bond  0.469% 12/25/25 JPY   1,622,800     14,506
  Major Joint Local Government Bond  0.145% 12/25/26 JPY   1,050,100      9,272
  Major Joint Local Government Bond  0.180%  1/25/27 JPY     983,200      8,698
  Major Joint Local Government Bond  0.245%  2/25/27 JPY     541,000      4,802
  Major Joint Local Government Bond  0.210%  3/25/27 JPY     619,900      5,493
  Major Joint Local Government Bond  0.215% 10/25/27 JPY     252,100      2,237
  Major Joint Local Government Bond  0.240%  2/25/28 JPY     152,500      1,354
  Major Joint Local Government Bond  0.180%  4/25/28 JPY   1,813,700     16,042
  Major Joint Local Government Bond  0.200%  5/25/28 JPY     283,200      2,508
  Major Joint Local Government Bond  0.205%  6/23/28 JPY     332,800      2,948
  Major Joint Local Government Bond  0.175%  7/25/28 JPY   1,159,600     10,251
  Major Joint Local Government Bond  0.245%  8/25/28 JPY     108,200        961
  Major Joint Local Government Bond  0.250%  9/25/28 JPY     433,600      3,852
  Major Joint Local Government Bond  0.160%  1/25/29 JPY     512,300      4,521
  Major Joint Local Government Bond  0.140%  2/22/29 JPY     509,000      4,485
  Major Joint Local Government Bond  0.100%  4/25/29 JPY      80,000        703
  Major Joint Local Government Bond  0.050%  9/25/29 JPY      15,900        139
  Major Joint Local Government Bond  0.070% 11/22/29 JPY   1,300,000     11,370
  Major Joint Local Government Bond  0.095%  2/25/30 JPY     309,600      2,713
  Major Joint Local Government Bond  0.150%  6/25/30 JPY     318,200      2,800
  Major Joint Local Government Bond  0.125% 10/25/30 JPY     460,200      4,039
  Major Joint Local Government Bond  0.120% 11/25/30 JPY      20,700        182
  Major Joint Local Government Bond  0.145%  2/25/31 JPY     328,800      2,888
  Major Joint Local Government Bond  0.204%  3/25/31 JPY   2,000,000     17,660
  Major Joint Local Government Bond  0.199%  4/25/31 JPY   2,140,000     18,883
  Major Joint Local Government Bond  0.145%  6/25/31 JPY     460,000      4,036
  Osaka Prefecture  1.453%  9/26/34 JPY      80,000        805
  Osaka Prefecture  0.366%  9/28/35 JPY   1,500,000     13,229
  Tokyo Metropolitan Government  0.760% 12/20/22 JPY      58,900        521
  Tokyo Metropolitan Government  0.860%  3/20/23 JPY     254,600      2,260
  Tokyo Metropolitan Government  0.700%  9/20/23 JPY     143,200      1,273
  Tokyo Metropolitan Government  0.720% 12/20/23 JPY       9,600         86
  Tokyo Metropolitan Government  0.730% 12/20/23 JPY     636,400      5,669
  Tokyo Metropolitan Government  0.635%  3/19/24 JPY     222,800      1,983
  Tokyo Metropolitan Government  0.690%  3/19/24 JPY      60,500        539
  Tokyo Metropolitan Government  0.505%  9/20/24 JPY     222,800      1,982
  Tokyo Metropolitan Government  0.426% 12/20/24 JPY      44,600        396
114


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Tokyo Metropolitan Government  0.386%  3/19/25 JPY     318,200      2,826
  Tokyo Metropolitan Government  0.435%  3/19/25 JPY     788,100      7,011
  Tokyo Metropolitan Government  0.499%  6/20/25 JPY     238,700      2,130
  Tokyo Metropolitan Government  0.533%  6/20/25 JPY     159,100      1,422
  Tokyo Metropolitan Government  0.456%  9/19/25 JPY     159,100      1,420
  Tokyo Metropolitan Government  0.475%  9/19/25 JPY     350,100      3,126
  Tokyo Metropolitan Government  0.444% 12/19/25 JPY     213,300      1,904
  Tokyo Metropolitan Government  0.075%  9/18/26 JPY      56,500        497
  Tokyo Metropolitan Government  0.210%  3/19/27 JPY     636,400      5,640
  Tokyo Metropolitan Government  0.040%  6/20/29 JPY     509,100      4,454
  Tokyo Metropolitan Government  0.095%  9/20/30 JPY      91,000        797
  Tokyo Metropolitan Government  1.980%  6/20/31 JPY      30,000        309
  Tokyo Metropolitan Government  1.293%  6/20/35 JPY      30,000        298
                   11,432,988
Jersey (0.0%)                           
  Bailiwick of Jersey  3.750%   6/9/54 GBP         480        994
Kazakhstan (0.0%)                           
2 Republic of Kazakhstan  1.550%  11/9/23 EUR       1,002      1,188
  Republic of Kazakhstan  1.550%  11/9/23 EUR         637        755
  Republic of Kazakhstan  0.600%  9/30/26 EUR         795        911
2 Republic of Kazakhstan  0.600%  9/30/26 EUR       2,005      2,297
  Republic of Kazakhstan  2.375%  11/9/28 EUR       3,182      4,072
2 Republic of Kazakhstan  1.500%  9/30/34 EUR       1,527      1,771
                   10,994
Latvia (0.0%)                           
  Republic of Latvia  2.875%  4/30/24 EUR         319        398
Lithuania (0.0%)                           
  Republic of Lithuania  2.125% 10/29/26 EUR       4,391      5,671
Luxembourg (0.0%)                           
  Grand Duchy of Luxembourg  2.250%  3/19/28 EUR         955      1,262
Malaysia (0.7%)                           
  Federation of Malaysia  3.480%  3/15/23 MYR      66,978     16,473
  Federation of Malaysia  3.757%  4/20/23 MYR      31,819      7,859
  Federation of Malaysia  3.800%  8/17/23 MYR      52,501     12,996
  Federation of Malaysia  3.478%  6/14/24 MYR      82,728     20,369
  Federation of Malaysia  4.181%  7/15/24 MYR      45,183     11,347
  Federation of Malaysia  4.059%  9/30/24 MYR      17,182      4,309
  Federation of Malaysia  3.882%  3/14/25 MYR      44,692     11,167
  Federation of Malaysia  3.955%  9/15/25 MYR     148,592     37,189
  Federation of Malaysia  4.392%  4/15/26 MYR      22,273      5,673
  Federation of Malaysia  3.906%  7/15/26 MYR      85,489     21,271
  Federation of Malaysia  3.900% 11/30/26 MYR      41,841     10,444
  Federation of Malaysia  3.899% 11/16/27 MYR      60,864     15,125
  Federation of Malaysia  3.733%  6/15/28 MYR      81,582     20,050
  Federation of Malaysia  3.885%  8/15/29 MYR     101,296     24,789
  Federation of Malaysia  4.498%  4/15/30 MYR      44,705     11,424
  Federation of Malaysia  2.632%  4/15/31 MYR      27,550      6,163
  Federation of Malaysia  4.232%  6/30/31 MYR       6,587      1,652
  Federation of Malaysia  4.127%  4/15/32 MYR       7,955      1,967
  Federation of Malaysia  3.844%  4/15/33 MYR      96,585     23,031
  Federation of Malaysia  4.642%  11/7/33 MYR      43,678     11,142
  Federation of Malaysia  3.828%   7/5/34 MYR      77,515     18,185
  Federation of Malaysia  4.254%  5/31/35 MYR      34,045      8,416
115


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Federation of Malaysia  4.762%   4/7/37 MYR      14,828      3,794
  Federation of Malaysia  4.893%   6/8/38 MYR      62,841     16,262
  Federation of Malaysia  3.757%  5/22/40 MYR      44,546     10,172
  Federation of Malaysia  4.935%  9/30/43 MYR       6,238      1,618
  Federation of Malaysia  4.736%  3/15/46 MYR      11,137      2,790
  Federation of Malaysia  4.921%   7/6/48 MYR      36,273      9,285
  Federation of Malaysia  4.065%  6/15/50 MYR      15,438      3,531
  Malaysia Government Investment Issue  3.151%  5/15/23 MYR      10,000      2,442
  Malaysia Government Investment Issue  4.444%  5/22/24 MYR       3,059        773
  Malaysia Government Investment Issue  3.655% 10/15/24 MYR      69,000     17,096
  Malaysia Government Investment Issue  3.726%  3/31/26 MYR     101,118     25,009
  Malaysia Government Investment Issue  3.422%  9/30/27 MYR      50,000     12,042
  Malaysia Government Investment Issue  4.130%   7/9/29 MYR      57,647     14,343
  Malaysia Government Investment Issue  3.465% 10/15/30 MYR      77,235     18,291
  Malaysia Government Investment Issue  4.119% 11/30/34 MYR      52,794     12,691
  Malaysia Government Investment Issue  4.786% 10/31/35 MYR      17,000      4,355
  Malaysia Government Investment Issue  3.447%  7/15/36 MYR      13,000      2,893
  Malaysia Government Investment Issue  4.755%   8/4/37 MYR      20,000      5,048
  Malaysia Government Investment Issue  4.467%  9/15/39 MYR      47,118     11,435
  Malaysia Government Investment Issue  4.417%  9/30/41 MYR      31,059      7,571
  Malaysia Government Investment Issue  4.638% 11/15/49 MYR      70,830     17,503
                   499,985
Mexico (0.6%)                           
  Mexican Bonos  6.750%   3/9/23 MXN     254,500     12,404
  Mexican Bonos  8.000%  12/7/23 MXN     644,600     31,991
  Mexican Bonos  8.000%   9/5/24 MXN     600,200     29,816
  Mexican Bonos 10.000%  12/5/24 MXN     807,500     42,876
  Mexican Bonos  5.750%   3/5/26 MXN     944,700     43,286
  Mexican Bonos  7.500%   6/3/27 MXN     692,900     33,754
  Mexican Bonos  8.500%  5/31/29 MXN     760,000     39,041
  Mexican Bonos  7.750%  5/29/31 MXN     627,000     30,859
  Mexican Bonos  7.750% 11/23/34 MXN     222,200     10,896
  Mexican Bonos 10.000% 11/20/36 MXN     195,600     11,420
  Mexican Bonos  8.500% 11/18/38 MXN     496,100     25,322
  Mexican Bonos  7.750% 11/13/42 MXN     482,100     22,888
  Mexican Bonos  8.000%  11/7/47 MXN     490,800     23,837
  United Mexican States  1.625%   3/6/24 EUR         955      1,141
  United Mexican States  1.375%  1/15/25 EUR       3,427      4,099
  United Mexican States  1.625%   4/8/26 EUR       1,306      1,574
  United Mexican States  1.350%  9/18/27 EUR       1,932      2,284
  United Mexican States  1.750%  4/17/28 EUR       5,251      6,324
  United Mexican States  3.625%   4/9/29 EUR       2,927      3,925
  United Mexican States  1.125%  1/17/30 EUR       2,428      2,713
  United Mexican States  3.375%  2/23/31 EUR       5,727      7,519
  United Mexican States  1.450% 10/25/33 EUR       2,456      2,633
  United Mexican States  2.250%  8/12/36 EUR       3,000      3,350
  United Mexican States  2.875%   4/8/39 EUR       3,145      3,683
  United Mexican States  3.000%   3/6/45 EUR       1,782      2,116
  United Mexican States  2.125% 10/25/51 EUR       8,263      7,915
  United Mexican States  5.625%  3/19/14 GBP       2,146      3,138
  United Mexican States  4.000%  3/15/15 EUR       1,082      1,350
                   412,154
Netherlands (1.7%)                           
  BNG Bank NV  4.750%   3/6/23 AUD       5,950      4,710
  BNG Bank NV  3.875%  5/26/23 EUR       8,909     10,980
116


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  BNG Bank NV  0.050%  7/11/23 EUR       8,000      9,312
  BNG Bank NV  5.250%  5/20/24 AUD       2,545      2,097
  BNG Bank NV  0.250%   6/7/24 EUR       1,909      2,233
  BNG Bank NV  0.050%  7/13/24 EUR       7,955      9,249
  BNG Bank NV  1.125%   9/4/24 EUR         446        535
  BNG Bank NV  0.200%  11/9/24 EUR       6,363      7,432
  BNG Bank NV  0.250%   5/7/25 EUR       9,084     10,636
  BNG Bank NV  3.250%  7/15/25 AUD       3,230      2,560
  BNG Bank NV  1.000%  1/12/26 EUR       4,773      5,765
  BNG Bank NV  0.125%  4/11/26 EUR       2,323      2,705
  BNG Bank NV  0.625%  6/19/27 EUR       4,709      5,631
  BNG Bank NV  3.500%  7/19/27 AUD       2,482      1,998
  BNG Bank NV  0.750%  1/11/28 EUR       7,350      8,859
  BNG Bank NV  3.300%  7/17/28 AUD       9,300      7,410
  BNG Bank NV  5.200%  12/7/28 GBP       1,050      1,815
  BNG Bank NV  0.750%  1/24/29 EUR       1,591      1,923
  BNG Bank NV  0.100%  1/15/30 EUR       4,773      5,485
  BNG Bank NV  1.375% 10/21/30 EUR       1,909      2,430
  BNG Bank NV  0.125%  4/19/33 EUR      20,000     22,598
  BNG Bank NV  0.125%   7/9/35 EUR       4,773      5,327
  BNG Bank NV  0.875% 10/17/35 EUR       1,591      1,950
  BNG Bank NV  0.875% 10/24/36 EUR       8,000      9,809
  BNG Bank NV  1.500%  3/29/38 EUR         955      1,287
  BNG Bank NV  1.500%  7/15/39 EUR       1,273      1,731
2 Kingdom of Netherlands  3.750%  1/15/23 EUR       3,271      3,984
2 Kingdom of Netherlands  1.750%  7/15/23 EUR      46,980     56,543
2 Kingdom of Netherlands  0.000%  1/15/24 EUR      19,901     23,303
2 Kingdom of Netherlands  2.000%  7/15/24 EUR      23,069     28,505
2 Kingdom of Netherlands  0.250%  7/15/25 EUR      84,101     99,703
2 Kingdom of Netherlands  0.500%  7/15/26 EUR      34,987     42,100
2 Kingdom of Netherlands  0.000%  1/15/27 EUR     107,588    126,200
2 Kingdom of Netherlands  0.750%  7/15/27 EUR      10,219     12,505
2 Kingdom of Netherlands  0.750%  7/15/28 EUR      32,004     39,328
2 Kingdom of Netherlands  0.250%  7/15/29 EUR      50,433     59,856
2 Kingdom of Netherlands  0.000%  7/15/30 EUR      68,410     79,214
2 Kingdom of Netherlands  0.000%  7/15/31 EUR      41,575     47,789
2 Kingdom of Netherlands  2.500%  1/15/33 EUR      12,887     18,926
2 Kingdom of Netherlands  4.000%  1/15/37 EUR      29,313     53,543
2 Kingdom of Netherlands  0.000%  1/15/38 EUR      61,000     68,100
2 Kingdom of Netherlands  0.500%  1/15/40 EUR      30,467     37,284
2 Kingdom of Netherlands  3.750%  1/15/42 EUR      34,641     68,585
2 Kingdom of Netherlands  2.750%  1/15/47 EUR      33,346     62,945
2 Kingdom of Netherlands  0.000%  1/15/52 EUR      33,377     35,636
  Nederlandse Waterschapsbank NV  0.500%  1/19/23 EUR      10,000     11,692
  Nederlandse Waterschapsbank NV  2.375%  1/27/23 CHF         955      1,082
  Nederlandse Waterschapsbank NV  0.125%  1/17/24 EUR       7,955      9,278
  Nederlandse Waterschapsbank NV  5.250%  4/18/24 AUD       2,710      2,226
  Nederlandse Waterschapsbank NV  5.200%  3/31/25 CAD         220        198
  Nederlandse Waterschapsbank NV  3.400%  7/22/25 AUD       1,120        892
  Nederlandse Waterschapsbank NV  0.250% 12/15/25 GBP       5,019      6,629
  Nederlandse Waterschapsbank NV  3.150%   9/2/26 AUD       2,870      2,270
  Nederlandse Waterschapsbank NV  0.000% 11/16/26 EUR       8,000      9,248
  Nederlandse Waterschapsbank NV  3.250%   3/9/27 EUR       3,182      4,311
  Nederlandse Waterschapsbank NV  1.000%   3/1/28 EUR       1,909      2,334
  Nederlandse Waterschapsbank NV  3.450%  7/17/28 AUD       1,270      1,020
117


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Nederlandse Waterschapsbank NV  3.300%   5/2/29 AUD       1,430      1,140
  Nederlandse Waterschapsbank NV  0.500%  4/29/30 EUR       1,800      2,136
  Nederlandse Waterschapsbank NV  3.000%  9/11/31 EUR       1,900      2,784
  Nederlandse Waterschapsbank NV  5.375%   6/7/32 GBP       3,182      6,070
  Nederlandse Waterschapsbank NV  1.250%  5/27/36 EUR       5,791      7,414
  Nederlandse Waterschapsbank NV  1.500%  6/15/39 EUR       1,591      2,154
  Nederlandse Waterschapsbank NV  0.750%  10/4/41 EUR      13,459     16,205
                   1,199,599
New Zealand (0.4%)                           
  Auckland Council  0.625% 11/13/24 EUR       3,182      3,764
  Auckland Council  0.125%  9/26/29 EUR         986      1,119
  Housing New Zealand Ltd.  3.360%  6/12/25 NZD       3,390      2,480
  Housing New Zealand Ltd.  2.247%  10/5/26 NZD       8,450      5,882
  New Zealand  5.500%  4/15/23 NZD      14,319     10,834
  New Zealand  0.500%  5/15/24 NZD      76,273     52,584
  New Zealand  2.750%  4/15/25 NZD      52,582     38,305
  New Zealand  0.500%  5/15/26 NZD      20,882     13,794
  New Zealand  4.500%  4/15/27 NZD      19,654     15,616
  New Zealand  0.250%  5/15/28 NZD      23,248     14,481
  New Zealand  3.000%  4/20/29 NZD      36,005     26,720
  New Zealand  1.500%  5/15/31 NZD      27,137     17,703
  New Zealand  2.000%  5/15/32 NZD       5,000      3,384
  New Zealand  3.500%  4/14/33 NZD      31,727     24,690
  New Zealand  2.750%  4/15/37 NZD      24,484     17,515
  New Zealand  1.750%  5/15/41 NZD      12,744      7,625
  New Zealand  2.750%  5/15/51 NZD       7,500      5,135
  New Zealand Local Government Funding Agency Bond  5.500%  4/15/23 NZD       1,591      1,197
  New Zealand Local Government Funding Agency Bond  2.250%  4/15/24 NZD       3,564      2,539
  New Zealand Local Government Funding Agency Bond  2.750%  4/15/25 NZD       2,863      2,056
  New Zealand Local Government Funding Agency Bond  1.500%  4/15/26 NZD       3,182      2,154
  New Zealand Local Government Funding Agency Bond  4.500%  4/15/27 NZD         637        493
  New Zealand Local Government Funding Agency Bond  1.500%  4/20/29 NZD       6,363      4,100
  New Zealand Local Government Funding Agency Bond  3.500%  4/14/33 NZD       4,605      3,395
                   277,565
Norway (0.2%)                           
2 Kingdom of Norway  2.000%  5/24/23 NOK     125,020     14,997
2 Kingdom of Norway  3.000%  3/14/24 NOK     180,602     22,173
2 Kingdom of Norway  1.750%  3/13/25 NOK      55,683      6,646
2 Kingdom of Norway  1.500%  2/19/26 NOK      41,364      4,881
2 Kingdom of Norway  1.750%  2/17/27 NOK      48,683      5,803
2 Kingdom of Norway  2.000%  4/26/28 NOK      63,637      7,698
2 Kingdom of Norway  1.750%   9/6/29 NOK     213,562     25,414
2 Kingdom of Norway  1.375%  8/19/30 NOK     190,039     21,930
2 Kingdom of Norway  1.250%  9/17/31 NOK      53,525      6,084
  Kommunalbanken A/S  4.500%  4/17/23 AUD       2,529      2,002
  Kommunalbanken A/S  2.700%   9/5/23 AUD         156        121
  Kommunalbanken A/S  1.500% 12/15/23 GBP       4,773      6,601
  Kommunalbanken A/S  5.250%  7/15/24 AUD       1,996      1,649
118


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Kommunalbanken A/S  4.250%  7/16/25 AUD         154        126
  Kommunalbanken A/S  0.250% 12/15/25 GBP       5,000      6,606
  Kommunalbanken A/S  0.625%  4/20/26 EUR       2,545      3,017
  Kommunalbanken A/S  3.000%  12/9/26 AUD       2,864      2,250
  Kommunalbanken A/S  0.875%  5/24/27 EUR       9,132     10,987
  Kommunalbanken A/S  3.400%  7/24/28 AUD       2,546      2,039
  Kommunalbanken A/S  0.050% 10/24/29 EUR       2,991      3,390
                   154,414
Peru (0.1%)                           
  Republic of Peru  5.700%  8/12/24 PEN      10,000      2,577
  Republic of Peru  2.750%  1/30/26 EUR       4,455      5,674
  Republic of Peru  8.200%  8/12/26 PEN      12,500      3,555
  Republic of Peru  6.350%  8/12/28 PEN      52,000     13,785
  Republic of Peru  5.940%  2/12/29 PEN      37,875      9,777
  Republic of Peru  3.750%   3/1/30 EUR         637        868
  Republic of Peru  6.950%  8/12/31 PEN      41,500     11,215
  Republic of Peru  6.150%  8/12/32 PEN      25,724      6,506
  Republic of Peru  1.250%  3/11/33 EUR       3,144      3,495
  Republic of Peru  5.400%  8/12/34 PEN      23,307      5,322
  Republic of Peru  6.900%  8/12/37 PEN      49,900     12,489
  Republic of Peru  5.350%  8/12/40 PEN      25,001      5,270
  Republic of Peru  6.850%  2/12/42 PEN       7,500      1,841
                   82,374
Philippines (0.0%)                           
  Republic of Philippines  0.250%  4/28/25 EUR       1,769      2,034
  Republic of Philippines  0.875%  5/17/27 EUR       2,501      2,921
  Republic of Philippines  0.700%   2/3/29 EUR       1,622      1,851
  Republic of Philippines  1.200%  4/28/33 EUR       2,588      2,962
                   9,768
Poland (0.4%)                           
  Bank Gospodarstwa Krajowego  1.375%   6/1/25 EUR       1,650      1,991
  Bank Gospodarstwa Krajowego  1.750%   5/6/26 EUR       1,273      1,568
  Bank Gospodarstwa Krajowego  1.625%  4/30/28 EUR       1,632      2,017
  Bank Gospodarstwa Krajowego  2.000%   6/1/30 EUR         286        367
  Republic of Poland  4.500%  1/18/22 EUR       2,070      2,416
  Republic of Poland  3.750%  1/19/23 EUR       1,464      1,775
  Republic of Poland  2.500%  1/25/23 PLN      45,819     11,586
  Republic of Poland  4.000% 10/25/23 PLN      81,620     21,251
  Republic of Poland  2.500%  4/25/24 PLN      34,981      8,861
  Republic of Poland  3.375%   7/9/24 EUR       1,909      2,406
  Republic of Poland  2.250% 10/25/24 PLN      15,909      4,003
  Republic of Poland  5.250%  1/20/25 EUR       2,354      3,170
  Republic of Poland  0.000%  2/10/25 EUR       4,773      5,493
  Republic of Poland  0.750%  4/25/25 PLN     164,112     39,198
  Republic of Poland  3.250%  7/25/25 PLN      41,683     10,832
  Republic of Poland  1.500%   9/9/25 EUR       1,591      1,937
  Republic of Poland  1.500%  1/19/26 EUR      15,209     18,580
  Republic of Poland  2.500%  7/25/26 PLN      51,386     12,986
  Republic of Poland  1.125%   8/7/26 EUR       1,113      1,344
  Republic of Poland  0.250% 10/25/26 PLN     200,119     45,167
  Republic of Poland  0.875%  5/10/27 EUR      10,437     12,465
  Republic of Poland  2.500%  7/25/27 PLN      49,319     12,405
  Republic of Poland  1.375% 10/22/27 EUR       1,289      1,588
  Republic of Poland  2.750%  4/25/28 PLN      83,775     21,304
119


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Poland  1.000% 10/25/28 EUR         923      1,117
  Republic of Poland  5.750%  4/25/29 PLN       8,225      2,509
  Republic of Poland  2.750% 10/25/29 PLN      90,755     22,916
  Republic of Poland  1.250% 10/25/30 PLN      93,183     20,627
  Republic of Poland  2.375%  1/18/36 EUR       4,236      5,845
  Republic of Poland  4.000%  4/25/47 PLN      20,350      5,740
                   303,464
Portugal (0.6%)                           
2 Portugal Obrigacoes do Tesouro OT  4.950% 10/25/23 EUR      37,645     48,279
2 Portugal Obrigacoes do Tesouro OT  5.650%  2/15/24 EUR      25,455     33,561
2 Portugal Obrigacoes do Tesouro OT  2.875%  7/21/26 EUR      21,753     28,776
2 Portugal Obrigacoes do Tesouro OT  4.125%  4/14/27 EUR      10,503     14,932
2 Portugal Obrigacoes do Tesouro OT  0.700% 10/15/27 EUR      63,913     76,808
2 Portugal Obrigacoes do Tesouro OT  1.950%  6/15/29 EUR      36,314     47,446
2 Portugal Obrigacoes do Tesouro OT  3.875%  2/15/30 EUR      12,727     19,027
2 Portugal Obrigacoes do Tesouro OT  0.475% 10/18/30 EUR      23,864     27,839
2 Portugal Obrigacoes do Tesouro OT  0.300% 10/17/31 EUR      25,000     28,288
2 Portugal Obrigacoes do Tesouro OT  2.250%  4/18/34 EUR      22,273     30,583
2 Portugal Obrigacoes do Tesouro OT  0.900% 10/12/35 EUR      30,104     35,383
2 Portugal Obrigacoes do Tesouro OT  4.100%  4/15/37 EUR       5,314      9,096
2 Portugal Obrigacoes do Tesouro OT  4.100%  2/15/45 EUR      14,001     26,474
                   426,492
Romania (0.2%)                           
  Romania  3.625%  4/24/24 EUR       1,655      2,069
  Romania  2.750% 10/29/25 EUR       5,373      6,750
  Romania  2.750%  2/26/26 EUR      10,000     12,494
2 Romania  2.750%  2/26/26 EUR       1,184      1,479
2 Romania  2.000%  12/8/26 EUR       1,162      1,417
  Romania  2.375%  4/19/27 EUR       7,159      8,833
  Romania  2.875%  5/26/28 EUR      10,667     13,423
2 Romania  1.375%  12/2/29 EUR       1,028      1,146
  Romania  2.500%   2/8/30 EUR       2,227      2,635
2 Romania  3.624%  5/26/30 EUR         993      1,266
  Romania  3.624%  5/26/30 EUR       5,259      6,707
2 Romania  1.750%  7/13/30 EUR       3,150      3,487
  Romania  2.124%  7/16/31 EUR         971      1,099
2 Romania  2.124%  7/16/31 EUR       1,371      1,552
  Romania  2.000%  1/28/32 EUR       4,000      4,405
2 Romania  2.000%  1/28/32 EUR       1,432      1,577
2 Romania  2.000%  4/14/33 EUR       2,416      2,617
  Romania  3.875% 10/29/35 EUR       2,545      3,200
  Romania  3.375%   2/8/38 EUR       2,500      2,937
  Romania  4.125%  3/11/39 EUR       2,955      3,739
2 Romania  2.625%  12/2/40 EUR         637        673
2 Romania  2.750%  4/14/41 EUR       3,147      3,353
  Romania  2.750%  4/14/41 EUR       2,765      2,940
2 Romania  2.875%  4/13/42 EUR       2,110      2,251
2 Romania  4.625%   4/3/49 EUR       2,700      3,611
  Romania  4.625%   4/3/49 EUR       3,182      4,255
2 Romania  3.375%  1/28/50 EUR       3,182      3,594
                   103,509
Russia (0.5%)                           
  Russian Federation  7.400%  12/7/22 RUB     237,048      3,319
  Russian Federation  7.000%  1/25/23 RUB     485,232      6,749
120


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Russian Federation  7.000%  8/16/23 RUB     976,828     13,526
  Russian Federation  6.500%  2/28/24 RUB     821,554     11,163
  Russian Federation  7.400%  7/17/24 RUB   2,134,666     29,475
  Russian Federation  7.100% 10/16/24 RUB      95,456      1,306
  Russian Federation  4.500%  7/16/25 RUB     600,000      7,457
  Russian Federation  7.150% 11/12/25 RUB     763,645     10,359
2 Russian Federation  2.875%  12/4/25 EUR       3,900      4,923
  Russian Federation  7.750%  9/16/26 RUB   2,020,000     27,967
  Russian Federation  7.950%  10/7/26 RUB   2,747,735     38,342
  Russian Federation  8.150%   2/3/27 RUB   1,417,356     19,973
  Russian Federation  6.000%  10/6/27 RUB   1,740,915     22,089
  Russian Federation  7.050%  1/19/28 RUB     843,191     11,258
  Russian Federation  6.900%  5/23/29 RUB     922,418     12,164
  Russian Federation  7.650%  4/10/30 RUB   1,469,251     20,206
  Russian Federation  5.900%  3/12/31 RUB   1,000,000     12,131
  Russian Federation  1.850% 11/20/32 EUR       3,200      3,680
  Russian Federation  7.700%  3/23/33 RUB   1,585,460     21,899
  Russian Federation  7.250%  5/10/34 RUB   2,214,943     29,434
  Russian Federation  6.100%  7/18/35 RUB   2,382,317     28,349
  Russian Federation  7.700%  3/16/39 RUB     603,602      8,296
                   344,065
Saudi Arabia (0.0%)                           
2 Kingdom of Saudi Arabia  0.000%   3/3/24 EUR      11,501     13,289
2 Kingdom of Saudi Arabia  0.750%   7/9/27 EUR       3,182      3,756
2 Kingdom of Saudi Arabia  0.625%   3/3/30 EUR       4,859      5,519
  Kingdom of Saudi Arabia  2.000%   7/9/39 EUR       4,646      5,613
                   28,177
Singapore (0.5%)                           
  Housing & Development Board  2.505%  6/27/24 SGD         750        576
  Housing & Development Board  3.100%  7/24/24 SGD       3,000      2,339
  Housing & Development Board  2.495%  3/11/26 SGD         750        580
  Housing & Development Board  2.035%  9/16/26 SGD       3,250      2,460
  Housing & Development Board  2.675%  1/22/29 SGD       1,500      1,171
  Housing & Development Board  2.598% 10/30/29 SGD       2,000      1,556
  Housing & Development Board  3.080%  5/31/30 SGD       4,750      3,832
  Housing & Development Board  2.545%   7/4/31 SGD       1,000        774
  Republic of Singapore  1.750%   2/1/23 SGD      31,819     23,928
  Republic of Singapore  2.750%   7/1/23 SGD      26,288     20,144
  Republic of Singapore  2.000%   2/1/24 SGD      36,088     27,426
  Republic of Singapore  3.000%   9/1/24 SGD      23,251     18,188
  Republic of Singapore  2.375%   6/1/25 SGD      15,909     12,304
  Republic of Singapore  0.500%  11/1/25 SGD      26,000     18,754
  Republic of Singapore  2.125%   6/1/26 SGD      21,540     16,518
  Republic of Singapore  1.250%  11/1/26 SGD       6,500      4,769
  Republic of Singapore  3.500%   3/1/27 SGD      32,128     26,199
  Republic of Singapore  2.625%   5/1/28 SGD      24,824     19,437
  Republic of Singapore  2.875%   7/1/29 SGD      21,805     17,407
  Republic of Singapore  2.875%   9/1/30 SGD      28,829     23,135
  Republic of Singapore  3.375%   9/1/33 SGD      23,182     19,802
  Republic of Singapore  2.250%   8/1/36 SGD      24,875     18,770
  Republic of Singapore  2.375%   7/1/39 SGD      12,600      9,666
  Republic of Singapore  2.750%   4/1/42 SGD      11,836      9,629
  Republic of Singapore  2.750%   3/1/46 SGD      23,799     19,419
  Republic of Singapore  1.875%   3/1/50 SGD      18,097     12,637
121


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Singapore  1.875%  10/1/51 SGD       1,000        702
                   332,122
Slovakia (0.2%)                           
  Slovak Republic  0.000% 11/13/23 EUR      19,982     23,343
  Slovak Republic  0.000%  6/17/24 EUR       8,993     10,520
  Slovak Republic  0.250%  5/14/25 EUR      12,476     14,697
  Slovak Republic  0.625%  5/22/26 EUR       4,137      4,984
  Slovak Republic  1.375%  1/21/27 EUR       6,745      8,464
  Slovak Republic  1.000%  6/12/28 EUR      10,745     13,293
  Slovak Republic  0.750%   4/9/30 EUR       9,035     10,992
  Slovak Republic  1.000%  10/9/30 EUR      10,446     12,957
  Slovak Republic  1.000%  5/14/32 EUR      17,601     21,954
  Slovak Republic  1.875%   3/9/37 EUR       3,230      4,447
  Slovak Republic  2.000% 10/17/47 EUR       5,019      7,417
  Slovak Republic  2.250%  6/12/68 EUR         795      1,342
                   134,410
Slovenia (0.1%)                           
  Republic of Slovenia  4.625%   9/9/24 EUR       1,273      1,687
  Republic of Slovenia  2.125%  7/28/25 EUR       1,591      2,006
  Republic of Slovenia  5.125%  3/30/26 EUR       2,545      3,641
  Republic of Slovenia  1.250%  3/22/27 EUR       4,455      5,518
  Republic of Slovenia  1.000%   3/6/28 EUR      11,137     13,623
  Republic of Slovenia  1.188%  3/14/29 EUR       3,182      3,941
  Republic of Slovenia  0.275%  1/14/30 EUR       4,773      5,524
  Republic of Slovenia  0.000%  2/12/31 EUR      16,353     18,204
  Republic of Slovenia  1.500%  3/25/35 EUR       3,819      4,925
  Republic of Slovenia  1.750%  11/3/40 EUR       5,682      7,774
  Republic of Slovenia  3.125%   8/7/45 EUR       3,182      5,546
  Republic of Slovenia  0.488% 10/20/50 EUR       5,986      6,258
                   78,647
South Africa (0.0%)                           
  Kingdom of Saudi Arabia  0.625%   3/3/30 EUR       3,000      3,407
South Korea (2.7%)                           
  Export-Import Bank of Korea  0.625%  7/11/23 EUR         319        374
  Export-Import Bank of Korea  0.375%  3/26/24 EUR       3,182      3,718
  Export-Import Bank of Korea  4.000%   6/7/27 AUD         130        105
  Korea Development Bank  0.625%  7/17/23 EUR       4,287      5,022
  Korea Gas Corp.  0.000% 11/28/23 CHF       1,275      1,396
2 Korea Housing Finance Corp.  0.750% 10/30/23 EUR       1,527      1,795
2 Korea Housing Finance Corp.  0.010%   2/5/25 EUR       1,591      1,834
  Korea Housing Finance Corp.  0.010%   2/5/25 EUR      25,527     29,429
2 Korea Housing Finance Corp.  0.010%   7/7/25 EUR       4,613      5,308
  Korea Housing Finance Corp.  0.010%  6/29/26 EUR      36,250     41,522
  Korea Treasury Bond  1.750%  9/10/26 KRW  10,000,000      8,326
  Korea Treasury Bond  2.375% 12/10/31 KRW  10,000,000      8,436
  Korea Treasury Bond  1.875%  9/10/41 KRW   3,000,000      2,331
  Republic of Korea  1.250% 12/10/22 KRW 100,000,000     85,216
  Republic of Korea  0.750%  3/10/23 KRW  50,000,000     42,252
  Republic of Korea  2.375%  3/10/23 KRW  20,000,000     17,272
  Republic of Korea  1.000%  6/10/23 KRW 100,000,000     84,579
  Republic of Korea  3.375%  9/10/23 KRW  55,000,000     48,413
  Republic of Korea  0.875% 12/10/23 KRW 123,000,000    103,138
  Republic of Korea  1.875%  3/10/24 KRW  65,000,000     55,552
  Republic of Korea  1.125%  6/10/24 KRW  50,000,000     41,818
122


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Republic of Korea  1.375%  9/10/24 KRW  60,000,000     50,314
  Republic of Korea  3.000%  9/10/24 KRW  15,000,000     13,153
  Republic of Korea  1.500%  3/10/25 KRW 110,000,000     92,038
  Republic of Korea  2.250%  6/10/25 KRW  15,000,000     12,846
  Republic of Korea  1.125%  9/10/25 KRW  60,000,000     49,202
  Republic of Korea  0.000%  9/16/25 EUR       3,943      4,558
  Republic of Korea  2.250% 12/10/25 KRW  20,000,000     17,088
  Republic of Korea  1.250%  3/10/26 KRW  90,000,000     73,664
  Republic of Korea  1.875%  6/10/26 KRW  55,000,000     46,146
  Republic of Korea  1.500% 12/10/26 KRW  10,000,000      8,206
  Republic of Korea  2.125%  6/10/27 KRW  60,000,000     50,603
  Republic of Korea  2.375% 12/10/27 KRW  25,000,000     21,314
  Republic of Korea  5.500%  3/10/28 KRW  25,000,000     25,219
  Republic of Korea  2.625%  6/10/28 KRW  15,000,000     12,977
  Republic of Korea  2.375% 12/10/28 KRW  30,000,000     25,549
  Republic of Korea  1.875%  6/10/29 KRW  30,000,000     24,666
  Republic of Korea  1.375% 12/10/29 KRW  55,000,000     43,386
  Republic of Korea  5.500% 12/10/29 KRW  13,000,000     13,610
  Republic of Korea  1.375%  6/10/30 KRW  65,000,000     51,032
  Republic of Korea  1.500% 12/10/30 KRW  40,000,000     31,604
  Republic of Korea  4.750% 12/10/30 KRW  20,000,000     20,318
  Republic of Korea  2.000%  6/10/31 KRW  87,709,350     72,210
  Republic of Korea  4.000% 12/10/31 KRW  20,000,000     19,483
  Republic of Korea  3.750% 12/10/33 KRW  25,000,000     24,288
  Republic of Korea  2.625%  9/10/35 KRW  20,000,000     17,443
  Republic of Korea  1.500%  9/10/36 KRW  30,000,000     22,603
  Republic of Korea  2.250%  9/10/37 KRW  30,000,000     24,950
  Republic of Korea  2.375%  9/10/38 KRW  11,000,000      9,299
  Republic of Korea  1.125%  9/10/39 KRW  27,000,000     18,667
  Republic of Korea  1.500%  9/10/40 KRW  51,000,000     37,339
  Republic of Korea  3.000% 12/10/42 KRW  35,000,000     32,589
  Republic of Korea  2.750% 12/10/44 KRW  45,000,000     40,410
  Republic of Korea  2.000%  3/10/46 KRW  30,000,000     23,475
  Republic of Korea  2.125%  3/10/47 KRW  55,000,000     44,025
  Republic of Korea  2.625%  3/10/48 KRW  54,950,000     48,006
  Republic of Korea  2.000%  3/10/49 KRW  64,000,000     49,781
  Republic of Korea  1.500%  3/10/50 KRW 100,000,000     68,120
  Republic of Korea  1.875%  3/10/51 KRW  64,020,590     48,253
  Republic of Korea  1.500%  9/10/66 KRW   3,000,000      1,906
  Republic of Korea  2.000%  9/10/68 KRW   4,000,000      2,996
  Republic of Korea  1.625%  9/10/70 KRW  21,968,000     14,399
                   1,895,571
Spain (4.6%)                           
  Adif Alta Velocidad  3.500%  5/27/24 EUR       3,900      4,930
  Adif Alta Velocidad  1.875%  1/28/25 EUR       4,900      6,040
  Autonomous Community of Andalusia Spain  0.500%  4/30/31 EUR      15,000     16,938
  Autonomous Community of Madrid Spain  2.875%  7/17/23 EUR       2,848      3,479
  Autonomous Community of Madrid Spain  4.125%  5/21/24 EUR       6,841      8,773
  Autonomous Community of Madrid Spain  0.997%  9/30/24 EUR         547        654
  Autonomous Community of Madrid Spain  1.826%  4/30/25 EUR       4,455      5,489
  Autonomous Community of Madrid Spain  4.300%  9/15/26 EUR       6,769      9,399
  Autonomous Community of Madrid Spain  2.146%  4/30/27 EUR       5,409      6,920
  Autonomous Community of Madrid Spain  1.773%  4/30/28 EUR       4,336      5,479
  Autonomous Community of Madrid Spain  1.571%  4/30/29 EUR       6,363      7,973
  Autonomous Community of Madrid Spain  2.080%  3/12/30 EUR       1,591      2,067
123


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Autonomous Community of Madrid Spain  0.419%  4/30/30 EUR       1,255      1,439
  Autonomous Community of Madrid Spain  0.420%  4/30/31 EUR      15,000     16,950
  Basque Government  0.850%  4/30/30 EUR       6,363      7,593
  Fondo De Titulizacion Del Deficit Del Sistema Electrico FTA  0.500%  3/17/23 EUR       9,600     11,232
  Fondo De Titulizacion Del Deficit Del Sistema Electrico FTA  0.850% 12/17/23 EUR      11,000     13,029
  Instituto de Credito Oficial  0.750% 10/31/23 EUR         955      1,129
  Instituto de Credito Oficial  0.000%  4/30/26 EUR      12,400     14,363
2 Kingdom of Spain  5.400%  1/31/23 EUR      44,731     55,529
  Kingdom of Spain  0.000%  4/30/23 EUR      65,252     76,029
  Kingdom of Spain  0.350%  7/30/23 EUR      18,564     21,771
2 Kingdom of Spain  4.400% 10/31/23 EUR      25,613     32,500
  Kingdom of Spain  0.000%  5/31/24 EUR     497,786    579,583
2 Kingdom of Spain  0.250%  7/30/24 EUR      65,452     76,813
2 Kingdom of Spain  1.600%  4/30/25 EUR      28,246     34,753
  Kingdom of Spain  0.000%  1/31/26 EUR     216,507    251,386
2 Kingdom of Spain  1.950%  4/30/26 EUR      32,658     41,203
  Kingdom of Spain  0.000%  1/31/27 EUR      69,706     80,338
2 Kingdom of Spain  1.500%  4/30/27 EUR      11,987     14,972
2 Kingdom of Spain  0.800%  7/30/27 EUR      79,546     95,644
  Kingdom of Spain  0.000%  1/31/28 EUR     245,631    280,842
2 Kingdom of Spain  1.400%  4/30/28 EUR      38,850     48,430
2 Kingdom of Spain  1.400%  7/30/28 EUR      75,271     94,025
2 Kingdom of Spain  5.150% 10/31/28 EUR      66,211    102,740
  Kingdom of Spain  6.000%  1/31/29 EUR       3,843      6,286
2 Kingdom of Spain  1.450%  4/30/29 EUR      41,420     51,997
2 Kingdom of Spain  1.250% 10/31/30 EUR     119,986    148,281
2 Kingdom of Spain  0.100%  4/30/31 EUR      40,000     44,356
2 Kingdom of Spain  0.500% 10/31/31 EUR     220,537    251,865
2 Kingdom of Spain  2.350%  7/30/33 EUR      31,868     43,696
2 Kingdom of Spain  1.850%  7/30/35 EUR      20,091     26,326
2 Kingdom of Spain  4.200%  1/31/37 EUR      37,263     63,853
2 Kingdom of Spain  0.850%  7/30/37 EUR     103,406    117,524
2 Kingdom of Spain  1.200% 10/31/40 EUR      69,966     82,782
2 Kingdom of Spain  4.700%  7/30/41 EUR      58,037    111,403
2 Kingdom of Spain  1.000%  7/30/42 EUR       5,094      5,785
2 Kingdom of Spain  5.150% 10/31/44 EUR      22,677     47,905
2 Kingdom of Spain  2.900% 10/31/46 EUR      48,163     76,497
2 Kingdom of Spain  2.700% 10/31/48 EUR      21,416     33,230
2 Kingdom of Spain  1.000% 10/31/50 EUR      64,351     68,569
2 Kingdom of Spain  3.450%  7/30/66 EUR      23,227     42,062
2 Kingdom of Spain  1.450% 10/31/71 EUR      38,649     40,925
                   3,293,776
Supranational (3.9%)                           
  African Development Bank  0.250%  1/24/24 EUR       2,578      3,012
  African Development Bank  4.750%   3/6/24 AUD       2,100      1,702
  African Development Bank  0.250% 11/21/24 EUR       7,191      8,403
  African Development Bank  0.875% 12/16/24 GBP       2,000      2,723
  African Development Bank  4.000%  1/10/25 AUD       4,560      3,681
  African Development Bank  4.500%   6/2/26 AUD       1,982      1,662
  African Development Bank  0.500%  6/22/26 GBP      14,300     19,047
  African Development Bank  0.125%  10/7/26 EUR       1,273      1,481
  African Development Bank  3.300%  7/27/27 AUD         319        254
  African Development Bank  0.500%  3/21/29 EUR      13,888     16,397
124


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Asian Development Bank  1.000% 12/15/22 GBP         764      1,050
  Asian Development Bank  2.650%  1/11/23 AUD         230        177
  Asian Development Bank  3.000%  1/17/23 NZD       3,182      2,313
  Asian Development Bank  0.200%  5/25/23 EUR       4,502      5,249
  Asian Development Bank  4.500%   9/5/23 AUD         190        152
  Asian Development Bank  2.450%  1/17/24 AUD         575        443
  Asian Development Bank  3.500%  5/30/24 NZD       6,363      4,684
  Asian Development Bank  3.750%  3/12/25 AUD       3,575      2,873
  Asian Development Bank  0.750%  2/10/26 CAD       3,000      2,340
  Asian Development Bank  0.625%  9/15/26 GBP       2,354      3,156
  Asian Development Bank  3.000% 10/14/26 AUD         585        462
  Asian Development Bank  0.125% 12/15/26 GBP       5,091      6,631
  Asian Development Bank  4.650%  2/16/27 CAD         888        820
  Asian Development Bank  3.400%  9/10/27 AUD         860        694
  Asian Development Bank  0.250% 10/28/27 GBP       4,295      5,577
  Asian Development Bank  0.750%  12/7/27 GBP       8,530     11,386
  Asian Development Bank  1.500%   5/4/28 CAD       2,600      2,060
  Asian Development Bank  3.300%   8/8/28 AUD         830        666
  Asian Development Bank  3.100%  6/15/29 AUD       4,500      3,566
  Asian Development Bank  0.000% 10/24/29 EUR       4,837      5,504
  Asian Development Bank  0.025%  1/31/30 EUR       9,764     11,119
  Asian Infrastructure Investment Bank  1.000%   5/6/26 AUD       5,000      3,612
  Corp. Andina de Fomento  0.750%  6/13/23 EUR       1,591      1,865
  Corp. Andina de Fomento  1.125%  2/13/25 EUR       4,773      5,643
  Corp. Andina de Fomento  0.500%  2/26/26 CHF       2,770      3,065
  Corp. Andina de Fomento  4.500%  9/14/27 AUD         509        393
  Council of Europe Development Bank  0.125%  5/25/23 EUR       5,003      5,832
  Council of Europe Development Bank  1.000% 10/21/24 CAD         750        597
  Council of Europe Development Bank  0.750%   6/9/25 EUR      22,220     26,505
  Council of Europe Development Bank  0.375%   6/8/26 EUR      37,594     44,379
  Council of Europe Development Bank  0.000%   4/9/27 EUR       2,956      3,424
  EUROFIMA  3.000%  5/22/24 CHF       1,590      1,887
  EUROFIMA  3.900% 12/19/25 AUD         320        260
  EUROFIMA  3.000%  5/15/26 CHF       2,070      2,588
  EUROFIMA  2.600%  1/13/27 AUD       7,900      6,047
  EUROFIMA  4.550%  3/30/27 CAD         860        778
  EUROFIMA  3.350%  5/21/29 AUD       1,380      1,096
  European Bank for Reconstruction & Development  1.250% 12/15/22 GBP       3,182      4,384
  European Bank for Reconstruction & Development  0.000% 10/17/24 EUR       3,182      3,697
  European Bank for Reconstruction & Development  5.625%  12/7/28 GBP         319        568
5 European Financial Stability Facility  0.000% 11/17/22 EUR      20,682     24,040
5 European Financial Stability Facility  0.500%  1/20/23 EUR      12,091     14,151
5 European Financial Stability Facility  0.000%  4/24/23 EUR      17,795     20,715
5 European Financial Stability Facility  1.875%  5/23/23 EUR      11,455     13,720
5 European Financial Stability Facility  0.000%  7/17/23 EUR       4,137      4,816
5 European Financial Stability Facility  0.125% 10/17/23 EUR       4,868      5,680
5 European Financial Stability Facility  0.200%  1/17/24 EUR         604        706
5 European Financial Stability Facility  2.125%  2/19/24 EUR       6,205      7,579
5 European Financial Stability Facility  0.000%  4/19/24 EUR     106,892    124,488
5 European Financial Stability Facility  1.750%  6/27/24 EUR       5,409      6,590
5 European Financial Stability Facility  0.400%  2/17/25 EUR      27,788     32,776
5 European Financial Stability Facility  0.200%  4/28/25 EUR       5,091      5,968
5 European Financial Stability Facility  0.500%  7/11/25 EUR       9,545     11,314
125


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
5 European Financial Stability Facility  0.000% 10/15/25 EUR      22,000     25,605
5 European Financial Stability Facility  0.400%  5/31/26 EUR      26,231     31,063
5 European Financial Stability Facility  0.750%   5/3/27 EUR      12,893     15,577
5 European Financial Stability Facility  0.875%  7/26/27 EUR       7,955      9,686
5 European Financial Stability Facility  0.000% 10/13/27 EUR      15,000     17,385
5 European Financial Stability Facility  0.950%  2/14/28 EUR       6,363      7,802
5 European Financial Stability Facility  0.050% 10/17/29 EUR       1,862      2,148
5 European Financial Stability Facility  2.750%  12/3/29 EUR       1,751      2,460
5 European Financial Stability Facility  0.000%  1/20/31 EUR      21,200     24,211
5 European Financial Stability Facility  3.875%  3/30/32 EUR       6,363     10,152
5 European Financial Stability Facility  3.000%   9/4/34 EUR       1,655      2,564
5 European Financial Stability Facility  0.875%  4/10/35 EUR      25,929     32,023
5 European Financial Stability Facility  3.375%   4/3/37 EUR      10,118     16,959
5 European Financial Stability Facility  1.450%   9/5/40 EUR       6,591      8,988
5 European Financial Stability Facility  1.700%  2/13/43 EUR       5,381      7,779
5 European Financial Stability Facility  2.350%  7/29/44 EUR       6,328     10,288
5 European Financial Stability Facility  1.200%  2/17/45 EUR      13,613     18,186
5 European Financial Stability Facility  1.375%  5/31/47 EUR       5,843      8,174
5 European Financial Stability Facility  1.800%  7/10/48 EUR      14,461     22,269
5 European Financial Stability Facility  0.700%  1/20/50 EUR      16,366     20,206
5 European Financial Stability Facility  0.050%  1/18/52 EUR       4,530      4,673
5 European Financial Stability Facility  1.750%  7/17/53 EUR       6,613     10,484
5 European Financial Stability Facility  2.000%  2/28/56 EUR       9,793     16,754
  European Investment Bank  2.700%  1/12/23 AUD         986        759
2 European Investment Bank  2.375%  1/18/23 CAD         891        731
  European Investment Bank  2.375%  1/18/23 CAD       3,100      2,544
  European Investment Bank  1.625%  3/15/23 EUR      17,866     21,245
  European Investment Bank  2.375%   7/6/23 CAD       2,642      2,178
  European Investment Bank  0.000% 10/16/23 EUR       9,545     11,112
  European Investment Bank  0.500% 11/15/23 EUR       6,363      7,489
  European Investment Bank  0.050% 12/15/23 EUR      17,501     20,398
  European Investment Bank  0.875% 12/15/23 GBP       3,516      4,813
  European Investment Bank  2.125%  1/15/24 EUR       5,409      6,592
  European Investment Bank  0.000%  3/15/24 EUR      43,273     50,404
  European Investment Bank  0.050%  5/24/24 EUR      26,363     30,737
  European Investment Bank  0.200%  7/15/24 EUR      12,727     14,907
  European Investment Bank  1.750%  7/30/24 CAD       4,455      3,641
  European Investment Bank  4.750%   8/7/24 AUD       1,035        848
  European Investment Bank  0.875%  9/13/24 EUR      10,501     12,537
  European Investment Bank  0.750% 11/15/24 GBP         319        433
  European Investment Bank  1.625%   2/4/25 CHF         800        931
  European Investment Bank  0.000%  3/25/25 EUR      10,955     12,755
  European Investment Bank  0.125%  4/15/25 EUR       9,545     11,162
  European Investment Bank  5.500%  4/15/25 GBP       1,182      1,862
  European Investment Bank  0.375%  7/16/25 EUR       7,350      8,678
  European Investment Bank  2.750%  9/15/25 EUR      12,727     16,421
  European Investment Bank  4.500% 10/15/25 EUR       4,773      6,552
  European Investment Bank  2.900% 10/17/25 AUD         955        751
  European Investment Bank  0.000%  3/13/26 EUR       3,182      3,704
  European Investment Bank  0.375%  4/14/26 EUR       8,907     10,540
  European Investment Bank  3.100%  8/17/26 AUD      11,204      8,900
  European Investment Bank  2.750%  8/25/26 PLN       3,182        805
  European Investment Bank  1.000%  9/21/26 GBP       1,018      1,389
  European Investment Bank  0.100% 10/15/26 EUR       4,932      5,768
  European Investment Bank  1.250% 11/13/26 EUR       1,909      2,358
126


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  European Investment Bank  0.125% 12/14/26 GBP      15,000     19,503
  European Investment Bank  0.500%  1/15/27 EUR      17,087     20,389
  European Investment Bank  3.500%  4/15/27 EUR       1,591      2,203
  European Investment Bank  0.000%  6/17/27 EUR      10,000     11,619
  European Investment Bank  3.750%  12/7/27 GBP       1,209      1,906
  European Investment Bank  0.875%  1/14/28 EUR      14,795     18,109
  European Investment Bank  1.000%  1/28/28 CAD       2,600      1,995
  European Investment Bank  3.300%   2/3/28 AUD         716        574
  European Investment Bank  0.000%  3/28/28 EUR      37,338     43,299
  European Investment Bank  1.375%  5/12/28 SEK      23,870      2,894
  European Investment Bank  0.000%  5/15/28 EUR       3,182      3,688
  European Investment Bank  0.000%  12/7/28 GBP         828      1,047
  European Investment Bank  6.000%  12/7/28 GBP       5,091      9,247
  European Investment Bank  0.625%  1/22/29 EUR      19,545     23,587
  European Investment Bank  3.300%  5/25/29 AUD      10,000      8,023
  European Investment Bank  0.125%  6/20/29 EUR       3,657      4,256
  European Investment Bank  0.250%  9/14/29 EUR      10,700     12,572
  European Investment Bank  0.050%  1/16/30 EUR      53,532     61,788
  European Investment Bank  4.000%  4/15/30 EUR       2,268      3,496
  European Investment Bank  0.000%   9/9/30 EUR       3,059      3,504
  European Investment Bank  2.750%  9/13/30 EUR       9,544     13,606
  European Investment Bank  0.000%  1/14/31 EUR      33,663     38,510
  European Investment Bank  1.000%  3/14/31 EUR      18,673     23,340
  European Investment Bank  1.000%  4/14/32 EUR      10,182     12,785
  European Investment Bank  1.125% 11/15/32 EUR       6,363      8,087
  European Investment Bank  1.125%  4/13/33 EUR       9,545     12,124
  European Investment Bank  3.000% 10/14/33 EUR       3,182      4,854
  European Investment Bank  0.050% 10/13/34 EUR      12,177     13,598
  European Investment Bank  2.625%  3/15/35 EUR       2,259      3,387
  European Investment Bank  3.125%  6/30/36 CHF         320        495
  European Investment Bank  1.125%  9/15/36 EUR      15,273     19,533
  European Investment Bank  3.875%   6/8/37 GBP       1,718      3,188
  European Investment Bank  0.500% 11/13/37 EUR         303        360
  European Investment Bank  5.000%  4/15/39 GBP       2,231      4,795
  European Investment Bank  2.750%  3/15/40 EUR       5,902      9,609
  European Investment Bank  0.250%  6/15/40 EUR       7,174      8,052
  European Investment Bank  0.010%  5/15/41 EUR      10,000     10,710
  European Investment Bank  3.625%  3/14/42 EUR       1,782      3,347
  European Investment Bank  1.000% 11/14/42 EUR       3,182      4,128
  European Investment Bank  4.500%   3/7/44 GBP       2,705      5,993
  European Investment Bank  1.750%  9/15/45 EUR       3,182      4,738
  European Investment Bank  0.875%  9/13/47 EUR       3,182      4,050
  European Investment Bank  1.500% 11/15/47 EUR       1,591      2,297
  European Investment Bank  1.500% 10/16/48 EUR         978      1,431
  European Investment Bank  0.050%  1/27/51 EUR       8,945      9,257
  European Investment Bank  4.625% 10/12/54 GBP       2,450      6,220
  European Stability Mechanism  0.000%  2/10/23 EUR      23,100     26,865
  European Stability Mechanism  0.100%  7/31/23 EUR      16,227     18,923
  European Stability Mechanism  2.125% 11/20/23 EUR       1,025      1,245
  European Stability Mechanism  0.125%  4/22/24 EUR      20,364     23,791
  European Stability Mechanism  0.000% 12/16/24 EUR       5,059      5,892
  European Stability Mechanism  0.000%  3/14/25 EUR      39,451     45,913
  European Stability Mechanism  1.000%  9/23/25 EUR      12,727     15,376
  European Stability Mechanism  0.500%   3/2/26 EUR      14,859     17,644
  European Stability Mechanism  0.750%  3/15/27 EUR       9,455     11,409
127


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  European Stability Mechanism  0.750%   9/5/28 EUR       9,472     11,499
  European Stability Mechanism  0.500%   3/5/29 EUR      13,363     15,950
  European Stability Mechanism  0.010%   3/4/30 EUR      14,285     16,384
  European Stability Mechanism  1.125%   5/3/32 EUR       1,664      2,104
  European Stability Mechanism  1.200%  5/23/33 EUR       3,819      4,872
  European Stability Mechanism  1.625% 11/17/36 EUR      12,711     17,320
  European Stability Mechanism  1.750% 10/20/45 EUR       3,182      4,766
  European Stability Mechanism  1.800%  11/2/46 EUR      14,991     22,837
  European Stability Mechanism  1.850%  12/1/55 EUR       4,773      7,988
11 European Union  0.625%  11/4/23 EUR       8,591     10,133
11 European Union  0.500%   4/4/25 EUR      19,091     22,619
  European Union  0.000%  11/4/25 EUR      45,797     53,428
  European Union  0.000%   3/4/26 EUR      30,000     34,978
  European Union  0.000%   7/6/26 EUR      38,500     44,871
11 European Union  3.000%   9/4/26 EUR       2,268      3,017
11 European Union  2.500%  11/4/27 EUR       6,045      8,054
11 European Union  2.875%   4/4/28 EUR       1,591      2,182
  European Union  0.000%  10/4/28 EUR      28,600     33,098
  European Union  0.000%   7/4/29 EUR       6,438      7,425
11 European Union  1.375%  10/4/29 EUR       5,091      6,508
  European Union  0.000%  10/4/30 EUR      24,500     28,099
11 European Union  0.750%   4/4/31 EUR      10,421     12,740
  European Union  0.000%  4/22/31 EUR      13,900     15,886
  European Union  0.000%   7/4/31 EUR      40,700     46,385
11 European Union  1.250%   4/4/33 EUR       7,955     10,211
  European Union  0.000%   7/4/35 EUR      18,044     19,967
11 European Union  1.125%   4/4/36 EUR       6,363      8,130
  European Union  0.250%  4/22/36 EUR       9,580     10,897
  European Union  0.200%   6/4/36 EUR      28,141     31,806
  European Union  0.400%   2/4/37 EUR      43,400     50,586
11 European Union  3.375%   4/4/38 EUR       2,576      4,381
  European Union  0.100%  10/4/40 EUR      17,111     18,590
  European Union  0.450%   7/4/41 EUR      34,000     39,230
11 European Union  3.750%   4/4/42 EUR       3,182      6,039
  European Union  0.450%   5/2/46 EUR      12,619     14,533
  European Union  0.750%   1/4/47 EUR      13,912     17,086
  European Union  0.300%  11/4/50 EUR      20,906     22,971
  European Union  0.700%   7/6/51 EUR      17,500     21,312
  Inter-American Development Bank  1.950%  4/23/24 AUD       1,018        776
  Inter-American Development Bank  4.750%  8/27/24 AUD       6,815      5,586
  Inter-American Development Bank  1.700% 10/10/24 CAD       3,939      3,174
  Inter-American Development Bank  1.375% 12/15/24 GBP       8,751     12,105
  Inter-American Development Bank  0.750% 10/15/25 CAD       1,503      1,175
  Inter-American Development Bank  2.750% 10/30/25 AUD       3,468      2,708
  Inter-American Development Bank  1.250% 12/15/25 GBP       7,795     10,746
  Inter-American Development Bank  4.250%  6/11/26 AUD         414        344
  Inter-American Development Bank  1.000%  6/29/26 CAD       3,300      2,579
  Inter-American Development Bank  0.500%  9/15/26 GBP       3,182      4,237
  Inter-American Development Bank  0.875%  8/27/27 CAD       2,008      1,530
  International Bank for Reconstruction & Development  2.250%  1/17/23 CAD       1,718      1,410
  International Bank for Reconstruction & Development  3.000%   2/2/23 NZD       3,182      2,312
  International Bank for Reconstruction & Development  0.500%  7/24/23 GBP       6,618      8,997
128


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  International Bank for Reconstruction & Development  2.500%   8/3/23 CAD       3,737      3,080
  International Bank for Reconstruction & Development  0.500% 10/10/23 SEK      63,640      7,416
  International Bank for Reconstruction & Development  2.200%  2/27/24 AUD       7,128      5,469
  International Bank for Reconstruction & Development  1.800%  7/26/24 CAD       3,685      3,013
  International Bank for Reconstruction & Development  1.900%  1/16/25 CAD       2,442      1,996
  International Bank for Reconstruction & Development  4.250%  6/24/25 AUD       4,009      3,293
  International Bank for Reconstruction & Development  0.750%   7/2/25 CAD       6,978      5,487
  International Bank for Reconstruction & Development  2.900% 11/26/25 AUD       3,309      2,605
  International Bank for Reconstruction & Development  0.625%  1/14/26 CAD       1,982      1,537
  International Bank for Reconstruction & Development  0.250%  7/22/26 GBP       1,591      2,095
  International Bank for Reconstruction & Development  3.000% 10/19/26 AUD       5,251      4,152
  International Bank for Reconstruction & Development  0.750% 12/15/26 GBP       4,413      5,934
  International Bank for Reconstruction & Development  0.000%  1/15/27 EUR      14,692     17,003
  International Bank for Reconstruction & Development  0.250%  9/23/27 GBP       6,363      8,263
  International Bank for Reconstruction & Development  0.875%  9/28/27 CAD       1,721      1,316
  International Bank for Reconstruction & Development  0.625% 11/22/27 EUR       3,501      4,193
  International Bank for Reconstruction & Development  0.010%  4/24/28 EUR       4,773      5,500
  International Bank for Reconstruction & Development  0.625%  7/14/28 GBP      15,400     20,336
  International Bank for Reconstruction & Development  3.300%  8/14/28 AUD       1,050        843
  International Bank for Reconstruction & Development  1.950%  9/20/29 CAD         575        462
  International Bank for Reconstruction & Development  1.000% 12/21/29 GBP       7,561     10,193
  International Bank for Reconstruction & Development  0.000%  2/21/30 EUR       3,635      4,145
  International Bank for Reconstruction & Development  0.500%  4/16/30 EUR       1,718      2,041
  International Bank for Reconstruction & Development  5.750%   6/7/32 GBP       1,909      3,740
  International Bank for Reconstruction & Development  0.625%  1/12/33 EUR       6,045      7,225
  International Bank for Reconstruction & Development  1.200%   8/8/34 EUR       3,069      3,917
  International Bank for Reconstruction & Development  0.500%  6/21/35 EUR       6,363      7,475
  International Bank for Reconstruction & Development  0.700% 10/22/46 EUR       4,100      4,923
  International Bank for Reconstruction & Development  0.125%   1/3/51 EUR      13,344     13,857
129


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  International Bank for Reconstruction & Development  0.200%  1/21/61 EUR       1,718      1,793
  International Finance Corp.  2.375%  7/19/23 CAD         611        504
  International Finance Corp.  4.250%  8/21/23 AUD         637        507
  International Finance Corp.  1.250% 12/15/23 GBP       4,391      6,065
  International Finance Corp.  1.450%  7/22/24 AUD       1,098        826
  International Finance Corp.  1.375%  9/13/24 CAD       1,071        866
  International Finance Corp.  1.375%   3/7/25 GBP       3,125      4,326
  International Finance Corp.  4.000%   4/3/25 AUD       1,432      1,162
  International Finance Corp.  0.625%  9/16/25 CAD       2,400      1,872
  International Finance Corp.  0.250% 12/15/25 GBP       3,245      4,295
  International Finance Corp.  3.200%  7/22/26 AUD      10,000      7,976
  International Finance Corp.  0.875%  9/15/26 GBP       4,825      6,544
  International Finance Corp.  0.750%  7/22/27 GBP       3,182      4,256
  International Finance Corp.  3.200% 10/18/27 AUD         382        305
  International Finance Corp.  0.750%  5/24/28 AUD      10,000      6,833
  International Finance Corp.  3.150%  6/26/29 AUD         700        557
  Nordic Investment Bank  1.125% 12/15/23 GBP       6,094      8,364
  Nordic Investment Bank  4.750%  2/28/24 AUD       1,668      1,351
  Nordic Investment Bank  0.125%  6/10/24 EUR       7,859      9,162
  Nordic Investment Bank  0.500%  11/3/25 EUR       6,236      7,384
  Nordic Investment Bank  0.125% 12/15/26 GBP      13,212     17,233
                   2,797,329
Sweden (0.4%)                           
  Kingdom of Sweden  0.125%  4/24/23 EUR       9,545     11,122
2 Kingdom of Sweden  1.500% 11/13/23 SEK     594,065     71,409
  Kingdom of Sweden  2.500%  5/12/25 SEK      41,140      5,208
  Kingdom of Sweden  1.000% 11/12/26 SEK     110,000     13,369
  Kingdom of Sweden  0.750%  5/12/28 SEK       2,225        268
2 Kingdom of Sweden  0.750% 11/12/29 SEK     123,780     14,911
2 Kingdom of Sweden  0.125%  5/12/31 SEK     622,330     70,940
  Kingdom of Sweden  2.250%   6/1/32 SEK      55,685      7,739
  Kingdom of Sweden  3.500%  3/30/39 SEK      73,645     12,687
  Kingdom of Sweden  1.375%  6/23/71 SEK     150,000     18,568
  Kommuninvest I Sverige AB  1.000% 11/13/23 SEK     181,370     21,493
  Kommuninvest I Sverige AB  1.000%  10/2/24 SEK      63,640      7,558
  Kommuninvest I Sverige AB  1.000%  5/12/25 SEK     125,380     14,908
  Kommuninvest I Sverige AB  0.750%   2/4/26 SEK      95,460     11,240
  Kommuninvest I Sverige AB  1.000% 11/12/26 SEK     190,920     22,600
  Region Stockholm  0.750%  2/26/25 EUR       1,591      1,878
                   305,898
Switzerland (0.3%)                           
  Canton of Basel-Landschaft  1.375%  9/29/34 CHF       5,285      6,516
  Canton of Geneva Switzerland  1.625%  7/30/29 CHF       1,130      1,372
  Canton of Geneva Switzerland  0.030%  6/28/30 CHF      13,000     14,001
  Canton of Geneva Switzerland  1.500%   3/5/32 CHF         510        627
  Canton of Geneva Switzerland  0.400%  4/28/36 CHF       1,590      1,751
  Canton of Geneva Switzerland  0.600%   7/4/46 CHF         955      1,108
  Canton of Vaud  2.000% 10/24/33 CHF       2,835      3,731
  Canton of Zurich  0.000%  6/27/25 CHF       3,180      3,498
  Canton of Zurich  1.250%  12/3/32 CHF         955      1,162
  Canton of Zurich  2.000%  7/29/38 CHF       3,180      4,448
  Canton of Zurich  0.250%  7/12/39 CHF       3,980      4,307
  Swiss Confederation  4.000%  2/11/23 CHF         766        887
  Swiss Confederation  1.250%  6/11/24 CHF       6,745      7,699
130


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
  Swiss Confederation  1.500%  7/24/25 CHF       5,553      6,486
  Swiss Confederation  1.250%  5/28/26 CHF      19,800     23,121
  Swiss Confederation  3.250%  6/27/27 CHF       2,863      3,746
  Swiss Confederation  0.000%  6/22/29 CHF       8,273      9,133
  Swiss Confederation  0.500%  5/27/30 CHF       5,409      6,201
  Swiss Confederation  2.250%  6/22/31 CHF       5,569      7,423
  Swiss Confederation  0.500%  6/27/32 CHF       4,518      5,185
  Swiss Confederation  3.500%   4/8/33 CHF       6,554      9,981
  Swiss Confederation  0.000%  6/26/34 CHF      19,588     21,291
  Swiss Confederation  2.500%   3/8/36 CHF       1,957      2,883
  Swiss Confederation  1.250%  6/27/37 CHF       9,625     12,472
  Swiss Confederation  0.000%  7/24/39 CHF       5,727      6,210
  Swiss Confederation  1.500%  4/30/42 CHF      13,078     18,448
  Swiss Confederation  0.500%  6/28/45 CHF      12,955     15,695
  Swiss Confederation  4.000%   1/6/49 CHF       2,705      6,109
  Swiss Confederation  0.500%  5/24/55 CHF       8,989     11,682
  Swiss Confederation  0.500%  5/30/58 CHF       7,054      9,330
  Swiss Confederation  2.000%  6/25/64 CHF       1,527      3,174
                   229,677
Thailand (0.7%)                           
  Bank of Thailand Bond  0.920%  3/23/23 THB     395,456     11,968
  Bank of Thailand Bond  0.650%  9/28/23 THB      50,000      1,506
  Kingdom of Thailand  2.000% 12/17/22 THB     231,819      7,098
  Kingdom of Thailand  5.500%  3/13/23 THB      41,364      1,329
  Kingdom of Thailand  3.625%  6/16/23 THB     237,274      7,495
  Kingdom of Thailand  2.400% 12/17/23 THB     605,188     18,891
  Kingdom of Thailand  0.750%  6/17/24 THB   1,036,370     31,194
  Kingdom of Thailand  1.450% 12/17/24 THB     724,276     22,199
  Kingdom of Thailand  0.950%  6/17/25 THB   1,183,599     35,632
  Kingdom of Thailand  3.850% 12/12/25 THB     397,731     13,328
  Kingdom of Thailand  2.125% 12/17/26 THB     536,790     16,915
  Kingdom of Thailand  1.000%  6/17/27 THB     280,000      8,312
  Kingdom of Thailand  3.580% 12/17/27 THB     314,049     10,702
  Kingdom of Thailand  5.670%  3/13/28 THB      38,183      1,450
  Kingdom of Thailand  2.875% 12/17/28 THB     585,885     19,276
  Kingdom of Thailand  4.875%  6/22/29 THB     553,642     20,628
  Kingdom of Thailand  1.600% 12/17/29 THB     810,572     24,337
  Kingdom of Thailand  3.650%  6/20/31 THB     391,367     13,627
  Kingdom of Thailand  2.000% 12/17/31 THB     355,479     10,790
  Kingdom of Thailand  3.775%  6/25/32 THB     479,823     16,930
  Kingdom of Thailand  1.600%  6/17/35 THB     145,456      3,996
  Kingdom of Thailand  1.585% 12/17/35 THB     421,869     11,478
  Kingdom of Thailand  3.400%  6/17/36 THB     942,210     31,554
  Kingdom of Thailand  4.260% 12/12/37 THB      88,137      3,252
  Kingdom of Thailand  3.300%  6/17/38 THB     824,161     27,121
  Kingdom of Thailand  3.800%  6/14/41 THB      47,728      1,689
  Kingdom of Thailand  2.000%  6/17/42 THB     385,456     10,368
  Kingdom of Thailand  4.675%  6/29/44 THB     318,957     12,746
  Kingdom of Thailand  2.875%  6/17/46 THB     359,398     10,997
  Kingdom of Thailand  1.875%  6/17/49 THB     447,149     11,018
  Kingdom of Thailand  4.000%  6/17/66 THB     294,459     10,885
  Kingdom of Thailand  3.600%  6/17/67 THB     745,349     25,356
  Kingdom of Thailand  2.500%  6/17/71 THB      54,737      1,388
                   455,455
131


Total International Bond II Index Fund
    Coupon Maturity
Date
Currency Face
Amount
(000)
Market
Value

($000)
United Kingdom (4.6%)                           
3 Community Finance Co. 1 plc  5.017%  7/31/34 GBP         136        241
7 LCR Finance plc  4.500%  12/7/28 GBP       2,387      3,989
7 LCR Finance plc  4.500%  12/7/38 GBP         509      1,026
7 LCR Finance plc  5.100%   3/7/51 GBP       2,132      5,503
  Transport for London  2.125%  4/24/25 GBP       1,591      2,238
  Transport for London  3.875%  7/23/42 GBP         156        277
  Transport for London  3.625%  5/15/45 GBP       1,959      3,430
  Transport for London  4.000%   4/7/64 GBP       1,448      3,093
  United Kingdom Gilt  0.125%  1/31/23 GBP      50,000     68,040
  United Kingdom Gilt  0.125%  1/31/24 GBP     348,847    470,988
  United Kingdom Gilt  0.250%  1/31/25 GBP       7,220      9,721
  United Kingdom Gilt  5.000%   3/7/25 GBP      39,998     62,475
  United Kingdom Gilt  0.625%   6/7/25 GBP       2,900      3,956
  United Kingdom Gilt  0.125%  1/30/26 GBP      76,919    102,489
  United Kingdom Gilt  0.375% 10/22/26 GBP       6,321      8,444
  United Kingdom Gilt  1.250%  7/22/27 GBP      25,039     35,046
  United Kingdom Gilt  4.250%  12/7/27 GBP      15,022     24,688
  United Kingdom Gilt  0.125%  1/31/28 GBP      95,966    125,459
  United Kingdom Gilt  0.500%  1/31/29 GBP      20,443     27,115
  United Kingdom Gilt  0.875% 10/22/29 GBP      24,924     33,925
  United Kingdom Gilt  0.375% 10/22/30 GBP      32,477     42,098
  United Kingdom Gilt  4.750%  12/7/30 GBP     103,163    187,120
  United Kingdom Gilt  0.250%  7/31/31 GBP      42,091     53,264
  United Kingdom Gilt  4.250%   6/7/32 GBP      36,128     65,068
  United Kingdom Gilt  4.500%   9/7/34 GBP      29,798     57,217
  United Kingdom Gilt  0.625%  7/31/35 GBP     100,947    128,474
  United Kingdom Gilt  4.250%   3/7/36 GBP      34,045     65,941
  United Kingdom Gilt  1.750%   9/7/37 GBP     104,097    154,350
  United Kingdom Gilt  4.750%  12/7/38 GBP       5,316     11,354
  United Kingdom Gilt  1.125%  1/31/39 GBP      16,844     22,767
  United Kingdom Gilt  4.250%   9/7/39 GBP      21,572     44,242
  United Kingdom Gilt  4.250%  12/7/40 GBP      13,347     27,877
  United Kingdom Gilt  1.250% 10/22/41 GBP     115,103    159,513
  United Kingdom Gilt  4.500%  12/7/42 GBP      30,260     67,147
  United Kingdom Gilt  3.250%  1/22/44 GBP      77,097    148,823
  United Kingdom Gilt  0.875%  1/31/46 GBP      65,293     83,501
  United Kingdom Gilt  4.250%  12/7/46 GBP      33,600     76,735
  United Kingdom Gilt  1.500%  7/22/47 GBP      37,641     55,438
  United Kingdom Gilt  1.750%  1/22/49 GBP      25,551     39,887
  United Kingdom Gilt  4.250%  12/7/49 GBP      23,100     55,292
  United Kingdom Gilt  0.625% 10/22/50 GBP      34,254     40,993
  United Kingdom Gilt  1.250%  7/31/51 GBP      43,348     60,855
  United Kingdom Gilt  3.750%  7/22/52 GBP      24,253     55,836
  United Kingdom Gilt  1.625% 10/22/54 GBP      32,628     50,946
  United Kingdom Gilt  4.250%  12/7/55 GBP      19,341     50,459
  United Kingdom Gilt  1.750%  7/22/57 GBP      44,915     74,308
  United Kingdom Gilt  4.000%  1/22/60 GBP      34,205     91,299
  United Kingdom Gilt  0.500% 10/22/61 GBP      84,229     97,828
  United Kingdom Gilt  2.500%  7/22/65 GBP      44,337     93,860
  United Kingdom Gilt  3.500%  7/22/68 GBP      29,839     80,131
                   3,234,766
Total Sovereign Bonds (Cost $58,184,161)     55,561,422
132


Total International Bond II Index Fund
    Coupon     Shares Market
Value

($000)
Temporary Cash Investments (0.3%)      
Money Market Fund (0.3%)                           
12 Vanguard Market Liquidity Fund (Cost $246,423)  0.070%                2,464,233           246,423
Total Investments (98.4%) (Cost $73,217,396)     69,964,856
Other Assets and Liabilities—Net (1.6%)     1,103,504
Net Assets (100.0%)     71,068,360
Cost is in $000.      
See Note A in Notes to Financial Statements.
1 Guaranteed by the Republic of Austria.
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 October 31, 2021, the aggregate value was $9,473,360,000, representing 13.3% of net assets.
3 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.
4 Guaranteed by the Republic of France.
5 Guaranteed by multiple countries.
6 Guaranteed by the Government of Japan.
7 Guaranteed by the Government of the United Kingdom.
8 Securities with a value of $467,315,000 have been segregated as collateral for open forward currency contracts.
9 Securities with a value of $637,000 have been segregated as initial margin for open futures contracts.
10 Guaranteed by the Federal Republic of Germany.
11 Guaranteed by the European Union.
12 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—Canadian dollar.
CHF—Swiss franc.
CNY—Chinese renminbi.
COP—Colombia Peso.
CZK—Czech koruna.
DKK—Danish krone.
EUR—euro.
GBP—British pound.
HKD—Hong Kong dollar.
HUF—Hungarian forint.
IDR—Indonesian rupiah.
ILS—Israeli shekel.
JPY—Japanese yen.
KRW—Korean won.
MXN—Mexican peso.
MYR—Malaysian ringgit.
NOK—Norwegian krone.
NZD—New Zealand dollar.
PEN—Peruvian sol.
PLN—Polish zloty.
RUB—Russian ruble.
SEK—Swedish krona.
SGD—Singapore dollar.
THB—Thai baht.
USD—U.S. dollar.
133


Total International Bond II Index Fund

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts        
KRW 10-Year Treasury Bond December 2021 200 20,692 (606)
KRW 3-Year Treasury Bond December 2021 450 41,513 (617)
        (1,223)
    
Forward Currency Contracts
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
State Street Bank & Trust Co. 12/2/21 AUD 84,000 USD 63,101 96
UBS AG 11/2/21 AUD 52,000 USD 37,567 1,551
Toronto-Dominion Bank 11/2/21 CAD 69,000 USD 54,464 1,289
State Street Bank & Trust Co. 12/2/21 CAD 23,000 USD 18,555 29
Citibank, N.A. 11/2/21 CHF 12,000 USD 12,873 234
Toronto-Dominion Bank 11/3/21 COP 423,000,000 USD 111,839 467
BNP Paribas 11/3/21 COP 316,518,916 USD 83,670 364
Toronto-Dominion Bank 11/3/21 COP 143,000,000 USD 37,981 (16)
Citibank, N.A. 11/3/21 COP 132,518,916 USD 35,301 (118)
HSBC Bank USA, N.A. 11/3/21 COP 127,000,000 USD 33,831 (113)
JPMorgan Chase Bank, N.A. 11/3/21 COP 75,000,000 USD 19,819 94
Toronto-Dominion Bank 12/2/21 COP 16,023,000 USD 4,211 34
BNP Paribas 11/2/21 CZK 4,883,000 USD 222,066 (2,162)
Morgan Stanley Capital Services Inc. 12/2/21 CZK 220,000 USD 9,914 (21)
Goldman Sachs Bank USA 11/2/21 DKK 42,000 USD 6,549 (22)
Goldman Sachs Bank USA 11/2/21 EUR 2,467,000 USD 2,865,512 (13,547)
BNP Paribas 11/2/21 EUR 2,100,000 USD 2,439,822 (12,128)
Deutsche Bank AG 11/2/21 EUR 1,400,000 USD 1,624,541 (6,077)
The Bank of New York Mellon Corp. 11/2/21 EUR 1,050,000 USD 1,221,115 (7,267)
Bank of America, N.A. 11/2/21 EUR 1,050,000 USD 1,219,540 (5,692)
Morgan Stanley Capital Services Inc. 11/2/21 EUR 1,050,000 USD 1,218,427 (4,579)
JPMorgan Chase Bank, N.A. 11/2/21 EUR 953,500 USD 1,106,475 (4,185)
Commonwealth Bank of Australia 11/2/21 EUR 703,500 USD 817,529 (4,250)
134


Total International Bond II Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
Barclays Bank plc 11/2/21 EUR 700,000 USD 814,900 (5,669)
HSBC Bank USA, N.A. 11/2/21 EUR 700,000 USD 813,295 (4,063)
Toronto-Dominion Bank 11/2/21 EUR 700,000 USD 812,420 (3,188)
State Street Bank & Trust Co. 11/2/21 EUR 700,000 USD 812,403 (3,171)
Citibank, N.A. 11/2/21 EUR 700,000 USD 811,930 (2,698)
UBS AG 11/2/21 EUR 700,000 USD 811,356 (2,124)
Royal Bank of Canada 11/2/21 EUR 350,000 USD 406,840 (2,224)
State Street Bank & Trust Co. 12/15/21 EUR 35,000 USD 40,538 (32)
BNP Paribas 11/2/21 GBP 102,000 USD 137,593 1,999
JPMorgan Chase Bank, N.A. 11/2/21 GBP 23,000 USD 31,188 289
Citibank, N.A. 11/2/21 GBP 5,000 USD 6,742 101
Toronto-Dominion Bank 11/3/21 HUF 35,253,000 USD 114,014 (772)
Bank of America, N.A. 12/2/21 HUF 1,570,000 USD 5,047 (11)
Standard Chartered Bank 11/2/21 IDR 8,839,091,000 USD 623,789 (9)
BNP Paribas 12/2/21 ILS 16,000 USD 5,069 (12)
UBS AG 11/2/21 JPY 74,250,000 USD 652,383 (916)
Barclays Bank plc 11/2/21 JPY 37,000,000 USD 324,786 (149)
BNP Paribas 11/2/21 JPY 3,380,000 USD 30,312 (656)
State Street Bank & Trust Co. 12/2/21 JPY 1,631,000 USD 14,307 7
Commonwealth Bank of Australia 11/2/21 JPY 900,000 USD 8,068 (171)
Citibank, N.A. 11/2/21 JPY 900,000 USD 8,068 (171)
JPMorgan Chase Bank, N.A. 11/2/21 KRW 1,504,494,225 USD 1,285,977 1,441
BNP Paribas 11/2/21 KRW 1,205,950,930 USD 1,030,234 1,718
Standard Chartered Bank 11/2/21 KRW 489,230,510 USD 418,379 264
UBS AG 11/2/21 KRW 388,202,240 USD 332,408 (217)
BNP Paribas 11/2/21 KRW 373,908,545 USD 320,378 (420)
UBS AG 11/2/21 KRW 291,738,200 USD 249,434 211
HSBC Bank plc 11/2/21 KRW 148,302,420 USD 127,287 (383)
State Street Bank & Trust Co. 12/2/21 MXN 108,000 USD 5,234 (14)
BNP Paribas 11/2/21 MYR 2,134,850 USD 515,268 223
Citibank, N.A. 12/2/21 NZD 18,000 USD 12,877 16
Toronto-Dominion Bank 11/3/21 PEN 302,297 USD 75,821 (73)
Toronto-Dominion Bank 11/3/21 PEN 302,297 USD 75,744 2
BNP Paribas 11/3/21 PLN 1,259,000 USD 317,540 (1,989)
Barclays Bank plc 12/2/21 PLN 39,000 USD 9,784 (15)
UBS AG 11/1/21 RUB 40,525,175 USD 577,183 (5,691)
Citibank, N.A. 11/1/21 RUB 10,504,825 USD 149,497 (1,356)
135


Total International Bond II Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
BNP Paribas 12/1/21 RUB 510,000 USD 7,155 (5)
Morgan Stanley Capital Services Inc. 12/1/21 RUB 400,000 USD 5,620 (13)
Goldman Sachs Bank USA 11/2/21 SEK 44,000 USD 5,030 93
State Street Bank & Trust Co. 12/2/21 SGD 9,000 USD 6,673
BNP Paribas 11/2/21 THB 12,167,633 USD 365,959 723
Standard Chartered Bank 11/2/21 THB 3,332,540 USD 100,559 (131)
JPMorgan Chase Bank, N.A. 12/2/21 THB 296,000 USD 8,885 33
State Street Bank & Trust Co. 11/2/21 THB 96,351 USD 2,853 51
BNP Paribas 11/2/21 USD 991,885 AUD 1,373,000 (40,965)
BNP Paribas 12/2/21 USD 830,792 AUD 1,106,000 (1,301)
Commonwealth Bank of Australia 12/2/21 USD 800,082 AUD 1,065,103 (1,243)
State Street Bank & Trust Co. 12/2/21 USD 635,057 AUD 845,400 (975)
Citibank, N.A. 11/2/21 USD 393,004 AUD 544,000 (16,225)
Commonwealth Bank of Australia 11/2/21 USD 350,244 AUD 482,000 (12,344)
UBS AG 11/2/21 USD 346,409 AUD 479,503 (14,302)
State Street Bank & Trust Co. 11/2/21 USD 312,087 AUD 432,000 (12,889)
JPMorgan Chase Bank, N.A. 12/2/21 USD 181,790 AUD 242,000 (277)
Toronto-Dominion Bank 11/2/21 USD 1,617,329 CAD 2,049,000 (38,294)
Toronto-Dominion Bank 12/2/21 USD 1,581,191 CAD 1,960,000 (2,512)
The Bank of New York Mellon Corp. 11/2/21 USD 1,240,935 CAD 1,578,102 (34,194)
Royal Bank of Canada 12/2/21 USD 850,488 CAD 1,054,102 (1,239)
The Bank of New York Mellon Corp. 12/2/21 USD 814,041 CAD 1,008,000 (435)
State Street Bank & Trust Co. 11/2/21 USD 553,012 CAD 700,000 (12,598)
Royal Bank of Canada 11/2/21 USD 498,854 CAD 632,000 (11,812)
State Street Bank & Trust Co. 12/2/21 USD 406,971 CAD 504,000 (267)
HSBC Bank USA, N.A. 11/2/21 USD 110,624 CAD 140,000 (2,498)
Morgan Stanley Capital Services Inc. 11/2/21 USD 798,392 CHF 744,269 (14,527)
Toronto-Dominion Bank 12/2/21 USD 802,013 CHF 732,269 1,555
State Street Bank & Trust Co. 12/2/21 USD 594,560 CNY 3,808,158 938
Standard Chartered Bank 11/2/21 USD 556,750 CNY 3,617,158 (8,415)
136


Total International Bond II Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
State Street Bank & Trust Co. 11/2/21 USD 29,454 CNY 191,000 (391)
Toronto-Dominion Bank 11/3/21 USD 148,210 COP 566,000,000 (2,059)
BNP Paribas 11/3/21 USD 82,569 COP 316,518,916 (1,464)
HSBC Bank USA, N.A. 11/3/21 USD 67,116 COP 254,000,000 (318)
Toronto-Dominion Bank 12/2/21 USD 37,906 COP 143,000,000 20
Toronto-Dominion Bank 12/2/21 USD 37,776 COP 143,000,000 (110)
Citibank, N.A. 12/2/21 USD 35,227 COP 132,518,916 117
Citibank, N.A. 11/3/21 USD 35,017 COP 132,518,916 (166)
HSBC Bank USA, N.A. 12/2/21 USD 33,757 COP 127,000,000 110
JPMorgan Chase Bank, N.A. 11/3/21 USD 19,769 COP 75,000,000 (141)
BNP Paribas 12/2/21 USD 16,647 COP 63,000,000 (44)
BNP Paribas 11/2/21 USD 221,767 CZK 4,883,000 1,864
BNP Paribas 12/2/21 USD 221,737 CZK 4,883,000 2,158
Barclays Bank plc 12/2/21 USD 387,911 DKK 2,473,155 3,317
Toronto-Dominion Bank 11/2/21 USD 197,103 DKK 1,265,155 490
Barclays Bank plc 11/2/21 USD 195,183 DKK 1,250,000 926
Morgan Stanley Capital Services Inc. 11/2/21 USD 9,066,148 EUR 7,787,000 64,027
State Street Bank & Trust Co. 12/2/21 USD 7,218,080 EUR 6,214,895 28,940
BNP Paribas 12/2/21 USD 6,916,321 EUR 5,965,000 16,250
Toronto-Dominion Bank 11/2/21 USD 6,916,840 EUR 5,950,000 38,376
State Street Bank & Trust Co. 11/2/21 USD 5,141,969 EUR 4,423,895 27,747
Toronto-Dominion Bank 12/2/21 USD 3,175,037 EUR 2,740,000 5,514
The Bank of New York Mellon Corp. 11/2/21 USD 2,850,927 EUR 2,450,000 18,617
Royal Bank of Canada 12/2/21 USD 2,841,481 EUR 2,450,000 7,420
Goldman Sachs Bank USA 11/2/21 USD 2,455,336 EUR 2,100,000 27,644
Goldman Sachs Bank USA 12/2/21 USD 2,440,468 EUR 2,100,000 11,272
Deutsche Bank AG 12/2/21 USD 2,132,175 EUR 1,835,000 9,521
The Bank of New York Mellon Corp. 12/15/21 USD 2,038,944 EUR 1,750,000 13,635
Royal Bank of Canada 11/2/21 USD 2,029,255 EUR 1,750,000 6,177
Deutsche Bank AG 11/2/21 USD 1,643,661 EUR 1,410,000 13,636
Bank of America, N.A. 11/2/21 USD 1,638,938 EUR 1,400,000 20,474
Morgan Stanley Capital Services Inc. 12/2/21 USD 1,627,115 EUR 1,400,000 7,651
BNP Paribas 11/2/21 USD 1,627,065 EUR 1,400,000 8,603
Barclays Bank plc 12/2/21 USD 1,625,906 EUR 1,400,000 6,443
HSBC Bank USA, N.A. 11/2/21 USD 1,221,489 EUR 1,050,000 7,641
137


Total International Bond II Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
Barclays Bank plc 11/2/21 USD 1,220,239 EUR 1,050,000 6,392
Standard Chartered Bank 11/2/21 USD 1,217,553 EUR 1,050,000 3,706
Standard Chartered Bank 12/2/21 USD 1,215,811 EUR 1,050,000 1,213
The Bank of New York Mellon Corp. 12/2/21 USD 1,013,399 EUR 870,000 7,018
UBS AG 12/2/21 USD 877,826 EUR 757,000 2,159
UBS AG 11/2/21 USD 878,794 EUR 752,000 9,447
Bank of America, N.A. 12/2/21 USD 816,114 EUR 700,000 6,382
Commonwealth Bank of Australia 11/2/21 USD 815,781 EUR 700,000 6,551
Commonwealth Bank of Australia 12/2/21 USD 813,942 EUR 700,000 4,210
HSBC Bank USA, N.A. 12/2/21 USD 813,759 EUR 700,000 4,027
BNP Paribas 12/15/21 USD 813,709 EUR 700,000 3,586
JPMorgan Chase Bank, N.A. 12/15/21 USD 813,231 EUR 700,000 3,108
Bank of America, N.A. 12/15/21 USD 812,751 EUR 700,000 2,628
Citibank, N.A. 12/2/21 USD 812,399 EUR 700,000 2,667
JPMorgan Chase Bank, N.A. 11/2/21 USD 502,836 EUR 433,000 2,268
Deutsche Bank AG 12/15/21 USD 407,138 EUR 350,000 2,077
Goldman Sachs Bank USA 12/15/21 USD 407,069 EUR 350,000 2,007
Toronto-Dominion Bank 12/2/21 USD 4,482,006 GBP 3,269,685 7,095
Toronto-Dominion Bank 11/2/21 USD 3,866,795 GBP 2,867,685 (57,787)
BNP Paribas 11/2/21 USD 1,510,210 GBP 1,120,000 (22,571)
State Street Bank & Trust Co. 12/2/21 USD 929,401 GBP 678,000 1,486
BNP Paribas 12/2/21 USD 120,668 GBP 88,000 230
Goldman Sachs Bank USA 11/2/21 USD 107,908 GBP 80,000 (1,576)
JPMorgan Chase Bank, N.A. 12/2/21 USD 32,784 HKD 255,000 7
HSBC Bank USA, N.A. 11/2/21 USD 32,746 HKD 255,000 (29)
Toronto-Dominion Bank 12/2/21 USD 113,855 HUF 35,253,000 771
JPMorgan Chase Bank, N.A. 11/3/21 USD 113,454 HUF 35,253,000 212
Standard Chartered Bank 12/2/21 USD 622,033 IDR 8,839,091,000 57
Standard Chartered Bank 11/2/21 USD 597,113 IDR 8,564,091,000 (7,260)
Standard Chartered Bank 11/2/21 USD 19,499 IDR 275,000,000 92
Standard Chartered Bank 12/2/21 USD 1,405 IDR 20,000,000 (2)
BNP Paribas 12/2/21 USD 249,875 ILS 789,000 496
Deutsche Bank AG 11/2/21 USD 245,450 ILS 789,000 (3,891)
Standard Chartered Bank 11/2/21 USD 2,666,883 JPY 297,500,000 56,626
BNP Paribas 11/2/21 USD 2,342,282 JPY 261,500,000 47,888
138


Total International Bond II Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
The Bank of New York Mellon Corp. 12/2/21 USD 1,691,806 JPY 192,500,000 2,421
BNP Paribas 12/2/21 USD 1,627,167 JPY 185,500,000 (786)
National Australia Bank Ltd. 11/2/21 USD 1,380,504 JPY 154,000,000 29,312
National Australia Bank Ltd. 12/2/21 USD 1,350,855 JPY 154,000,000 (653)
The Bank of New York Mellon Corp. 11/2/21 USD 1,367,441 JPY 153,000,000 25,023
JPMorgan Chase Bank, N.A. 11/2/21 USD 1,029,876 JPY 115,000,000 20,869
Barclays Bank plc 12/2/21 USD 965,554 JPY 109,846,458 1,538
Morgan Stanley Capital Services Inc. 11/2/21 USD 879,537 JPY 98,240,000 17,581
BNP Paribas 12/2/21 USD 694,398 JPY 78,900,000 1,970
Deutsche Bank AG 11/2/21 USD 679,645 JPY 76,000,000 12,823
UBS AG 12/2/21 USD 650,274 JPY 74,000,000 848
State Street Bank & Trust Co. 11/2/21 USD 402,115 JPY 45,000,000 7,286
Toronto-Dominion Bank 11/2/21 USD 376,501 JPY 42,000,000 7,994
Toronto-Dominion Bank 12/2/21 USD 368,415 JPY 42,000,000 (178)
HSBC Bank plc 12/2/21 USD 355,303 JPY 40,400,000 751
Barclays Bank plc 11/2/21 USD 350,539 JPY 39,000,000 8,354
UBS AG 11/2/21 USD 347,273 JPY 38,836,458 6,523
Commonwealth Bank of Australia 12/2/21 USD 338,889 JPY 38,500,000 1,012
State Street Bank & Trust Co. 12/2/21 USD 338,755 JPY 38,500,000 878
Toronto-Dominion Bank 12/2/21 USD 338,206 JPY 38,500,000 329
Goldman Sachs Bank USA 12/2/21 USD 338,206 JPY 38,500,000 329
Bank of America, N.A. 11/2/21 USD 125,305 JPY 14,000,000 2,469
Standard Chartered Bank 12/2/21 USD 14,134 JPY 1,610,000 5
BNP Paribas 11/2/21 USD 1,346,145 KRW 1,579,859,475 (5,764)
JPMorgan Chase Bank, N.A. 11/2/21 USD 1,276,198 KRW 1,504,494,225 (11,222)
BNP Paribas 12/2/21 USD 607,357 KRW 711,445,898 (935)
UBS AG 11/2/21 USD 579,873 KRW 679,940,440 (1,962)
JPMorgan Chase Bank, N.A. 12/2/21 USD 434,838 KRW 509,185,790 (520)
Standard Chartered Bank 11/2/21 USD 416,864 KRW 489,230,510 (1,778)
UBS AG 12/2/21 USD 332,092 KRW 388,202,240 176
BNP Paribas 12/2/21 USD 177,863 KRW 207,536,150 418
Standard Chartered Bank 12/2/21 USD 174,974 KRW 204,689,510 (37)
HSBC Bank plc 12/2/21 USD 127,190 KRW 148,302,420 390
139


Total International Bond II Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
HSBC Bank plc 11/2/21 USD 126,798 KRW 148,302,420 (107)
State Street Bank & Trust Co. 12/2/21 USD 382,867 MXN 7,884,000 1,836
State Street Bank & Trust Co. 11/3/21 USD 347,145 MXN 7,175,000 (1,201)
UBS AG 11/3/21 USD 19,820 MXN 409,000 (37)
BNP Paribas 11/3/21 USD 14,513 MXN 300,000 (52)
BNP Paribas 11/2/21 USD 509,709 MYR 2,134,850 (5,783)
BNP Paribas 12/2/21 USD 510,225 MYR 2,116,247 (79)
Barclays Bank plc 12/2/21 USD 126,463 NOK 1,070,000 (168)
Barclays Bank plc 11/2/21 USD 116,251 NOK 1,015,000 (3,896)
Morgan Stanley Capital Services Inc. 11/2/21 USD 6,242 NOK 55,000 (268)
JPMorgan Chase Bank, N.A. 12/2/21 USD 301,878 NZD 422,000 (392)
JPMorgan Chase Bank, N.A. 11/2/21 USD 270,376 NZD 392,000 (10,524)
Toronto-Dominion Bank 11/2/21 USD 13,794 NZD 20,000 (538)
UBS AG 11/2/21 USD 7,071 NZD 10,000 (95)
Toronto-Dominion Bank 11/3/21 USD 148,982 PEN 604,594 (2,513)
Toronto-Dominion Bank 12/2/21 USD 75,731 PEN 302,297 66
BNP Paribas 12/2/21 USD 317,300 PLN 1,259,000 1,954
Deutsche Bank AG 11/3/21 USD 315,733 PLN 1,259,000 182
UBS AG 11/1/21 USD 349,199 RUB 25,515,000 (10,619)
UBS AG 12/1/21 USD 214,099 RUB 15,010,175 3,677
UBS AG 11/1/21 USD 212,853 RUB 15,010,175 1,178
Citibank, N.A. 11/1/21 USD 148,964 RUB 10,504,825 824
Citibank, N.A. 12/1/21 USD 148,614 RUB 10,504,825 1,351
UBS AG 12/2/21 USD 381,966 SEK 3,255,087 2,828
Royal Bank of Canada 11/2/21 USD 320,115 SEK 2,800,000 (5,926)
Royal Bank of Canada 12/2/21 USD 305,710 SEK 2,625,000 (39)
Barclays Bank plc 11/2/21 USD 177,956 SEK 1,564,087 (4,172)
UBS AG 11/2/21 USD 177,583 SEK 1,560,000 (4,069)
Barclays Bank plc 12/2/21 USD 18,675 SEK 160,000 39
Toronto-Dominion Bank 12/2/21 USD 353,693 SGD 476,000 758
Morgan Stanley Capital Services Inc. 11/2/21 USD 320,439 SGD 436,000 (2,880)
HSBC Bank USA, N.A. 11/2/21 USD 14,753 SGD 20,000 (78)
State Street Bank & Trust Co. 11/2/21 USD 14,727 SGD 20,000 (104)
BNP Paribas 12/2/21 USD 365,705 THB 12,167,633 (877)
BNP Paribas 11/2/21 USD 267,840 THB 9,030,400 (4,298)
JPMorgan Chase Bank, N.A. 11/2/21 USD 189,608 THB 6,410,784 (3,586)
140


Total International Bond II Index Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
Depreciation
($000)
Counterparty Receive Deliver
Standard Chartered Bank 12/2/21 USD 100,532 THB 3,332,540 131
Standard Chartered Bank 11/2/21 USD 4,612 THB 155,341 (70)
            710,941 (507,847)
At October 31, 2021, the counterparties had deposited in segregated accounts securities with a value of $24,985,000 and cash of $23,010,000 in connection with open forward currency contracts.
See accompanying Notes, which are an integral part of the Financial Statements.
141


Total International Bond II Index Fund
Statement of Assets and Liabilities
As of October 31, 2021
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $72,970,973) 69,718,433
Affiliated Issuers (Cost $246,423) 246,423
Total Investments in Securities 69,964,856
Investment in Vanguard 2,399
Cash 254
Foreign Currency, at Value (Cost $682,586) 591,999
Receivables for Investment Securities Sold 167,555
Receivables for Accrued Income 339,415
Receivables for Capital Shares Issued 300,401
Unrealized Appreciation—Forward Currency Contracts 710,941
Other Assets 8,743
Total Assets 72,086,563
Liabilities  
Payables for Investment Securities Purchased 498,479
Payables to Vanguard 2,746
Variation Margin Payable—Futures Contracts 9,131
Unrealized Depreciation—Forward Currency Contracts 507,847
Total Liabilities 1,018,203
Net Assets 71,068,360
142


Total International Bond II Index Fund
Statement of Assets and Liabilities (continued)

At October 31, 2021, net assets consisted of:  
($000s, except shares and per-share amounts) Amount
Paid-in Capital 71,894,199
Total Distributable Earnings (Loss) (825,839)
Net Assets 71,068,360
 
Investor Shares—Net Assets  
Applicable to 133,190,987 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
1,325,629
Net Asset Value Per Share—Investor Shares $9.95
 
Admiral Shares—Net Assets  
Applicable to 1,537,400,445 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
30,595,276
Net Asset Value Per Share—Admiral Shares $19.90
 
Institutional Shares—Net Assets  
Applicable to 1,325,546,497 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
39,147,455
Net Asset Value Per Share—Institutional Shares $29.53
  
See accompanying Notes, which are an integral part of the Financial Statements.
143


Total International Bond II Index Fund
Statement of Operations
  February 17, 20211 to
October 31, 2021
  ($000)
Investment Income  
Income  
Interest2,3 176,760
Total Income 176,760
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 872
Management and Administrative—Investor Shares 701
Management and Administrative—Admiral Shares 12,409
Management and Administrative—Institutional Shares 16,002
Marketing and Distribution—Investor Shares 35
Marketing and Distribution—Admiral Shares 214
Marketing and Distribution—Institutional Shares 509
Custodian Fees 969
Auditing Fees 76
Shareholders’ Reports—Investor Shares 10
Shareholders’ Reports—Admiral Shares 116
Shareholders’ Reports—Institutional Shares 2
Trustees’ Fees and Expenses 8
Total Expenses 31,923
Net Investment Income 144,837
Realized Net Gain (Loss)  
Investment Securities Sold2 (179,019)
Futures Contracts 1,790
Forward Currency Contracts 2,320,737
Foreign Currencies 176,512
Realized Net Gain (Loss) 2,320,020
Change in Unrealized Appreciation (Depreciation)  
Investment Securities2 (3,252,540)
Futures Contracts (1,223)
Forward Currency Contracts 203,094
Foreign Currencies (95,293)
Change in Unrealized Appreciation (Depreciation) (3,145,962)
Net Increase (Decrease) in Net Assets Resulting from Operations (681,105)
1 Inception.
2 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $298,000, $0, and less than $1,000, respectively. Purchases and sales are for temporary cash investment purposes.
3 Interest is net of foreign withholding taxes of $6,833,000.
  
See accompanying Notes, which are an integral part of the Financial Statements.
144


Total International Bond II Index Fund
Statement of Changes in Net Assets
  February 17, 20211 to
October 31, 2021
  ($000)
Increase (Decrease) in Net Assets  
Operations  
Net Investment Income 144,837
Realized Net Gain (Loss) 2,320,020
Change in Unrealized Appreciation (Depreciation) (3,145,962)
Net Increase (Decrease) in Net Assets Resulting from Operations (681,105)
Distributions  
Investor Shares (2,106)
Admiral Shares (47,157)
Institutional Shares (95,471)
Total Distributions (144,734)
Capital Share Transactions  
Investor Shares 1,336,360
Admiral Shares 30,841,795
Institutional Shares 39,716,044
Net Increase (Decrease) from Capital Share Transactions 71,894,199
Total Increase (Decrease) 71,068,360
Net Assets  
Beginning of Period
End of Period 71,068,360
1 Inception.
  
See accompanying Notes, which are an integral part of the Financial Statements.
145


Total International Bond II Index Fund
Financial Highlights
Investor Shares  
For a Share Outstanding
Throughout Each Period 
February 26,
20211 to
October 31,
2021
 
Net Asset Value, Beginning of Period $10.00
Investment Operations  
Net Investment Income2 .023
Net Realized and Unrealized Gain (Loss) on Investments (.051)
Total from Investment Operations (.028)
Distributions  
Dividends from Net Investment Income (.022)
Distributions from Realized Capital Gains
Total Distributions (.022)
Net Asset Value, End of Period $9.95
Total Return3 -0.28%
Ratios/Supplemental Data  
Net Assets, End of Period (Millions) $1,326
Ratio of Total Expenses to Average Net Assets 0.13%4
Ratio of Net Investment Income to Average Net Assets 0.34%4
Portfolio Turnover Rate5 19%
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.
  
See accompanying Notes, which are an integral part of the Financial Statements.
146


Total International Bond II Index Fund
Financial Highlights
Admiral Shares  
For a Share Outstanding
Throughout Each Period 
February 26,
20211 to
October 31,
2021
 
Net Asset Value, Beginning of Period $20.00
Investment Operations  
Net Investment Income2 .051
Net Realized and Unrealized Gain (Loss) on Investments (.104)
Total from Investment Operations (.053)
Distributions  
Dividends from Net Investment Income (.047)
Distributions from Realized Capital Gains
Total Distributions (.047)
Net Asset Value, End of Period $19.90
Total Return3 -0.27%
Ratios/Supplemental Data  
Net Assets, End of Period (Millions) $30,595
Ratio of Total Expenses to Average Net Assets 0.11%4
Ratio of Net Investment Income to Average Net Assets 0.38%4
Portfolio Turnover Rate5 19%
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.
  
See accompanying Notes, which are an integral part of the Financial Statements.
147


Total International Bond II Index Fund
Financial Highlights
Institutional Shares  
For a Share Outstanding
Throughout Each Period 
February 17
20211 to
October 31,
2021
 
Net Asset Value, Beginning of Period $30.00
Investment Operations  
Net Investment Income2 .080
Net Realized and Unrealized Gain (Loss) on Investments (.472)
Total from Investment Operations (.392)
Distributions  
Dividends from Net Investment Income (.078)
Distributions from Realized Capital Gains
Total Distributions (.078)
Net Asset Value, End of Period $29.53
Total Return -1.31%
Ratios/Supplemental Data  
Net Assets, End of Period (Millions) $39,147
Ratio of Total Expenses to Average Net Assets 0.07%3
Ratio of Net Investment Income to Average Net Assets 0.38%3
Portfolio Turnover Rate4 19%
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.
  
See accompanying Notes, which are an integral part of the Financial Statements.
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Total International Bond II Index Fund
Notes to Financial Statements
Vanguard Total International Bond II Index Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund has been established by Vanguard as an investment vehicle for Vanguard funds of funds as well as certain similar trusts and accounts ("eligible investors"). The fund is not available to other investors. The fund offers three classes of shares: Investor Shares, Admiral Shares, and Institutional Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors.
Certain of the fund’s investments are in corporate debt instruments; the issuers' abilities to meet their obligations may be affected by economic developments in their respective industries. 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 securities denominated in currencies other than the U.S. dollar, the fund attempts to hedge its currency exposure. Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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, as furnished by independent pricing services. 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.
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
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Total International Bond II Index Fund
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 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. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities 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 gains (losses) on futures contracts.
During the period ended October 31, 2021, the fund’s average investments in long and short futures contracts each represented less than 1% of net assets, based on the average of the notional amounts at each quarter-end during the period.
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 securities pledged as collateral for open contracts are noted in the Schedule of Investments. 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 Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities 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 gains (losses) on forward currency contracts.
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Total International Bond II Index Fund
During the period ended October 31, 2021, the fund’s average investment in forward currency contracts represented 159% of net assets, based on the average of the notional amounts at each quarter-end during the period.
The following table summarizes the fund’s derivative assets and liabilities by counterparty for derivatives subject to arrangements that provide for offsetting assets and liabilities. Exchange-traded and centrally cleared derivatives are listed separately.
  Assets
Reflected in
Statement of
Assets and
Liabilities1
($000)
Liabilities
Reflected in
Statement of
Assets and
Liabilities1
($000)
Net Amount
Receivable
(Payable)
($000)
Amounts Not Offset in
the
Statement of Assets
and Liabilities
Net
Exposure3
(Not Less
Than $0)
($000)
  Collateral
Pledged2
($000)
Collateral
Received2
($000)
Derivatives Subject to
Offsetting Arrangements, by Counterparty
           
Bank of America, N.A. 31,953 (5,703) 26,250 6,002 20,248
Barclays Bank plc 27,009 (14,069) 12,940 11,490 12,940
BNP Paribas 90,444 (102,291) (11,847) 65,575
Citibank, N.A. 5,310 (20,734) (15,424) 18,468
Commonwealth Bank of Australia 11,773 (18,008) (6,235) 8,550
Deutsche Bank AG 38,239 (9,968) 28,271 209 28,062
Goldman Sachs Bank USA 41,345 (15,145) 26,200 825 25,375
HSBC Bank plc 1,141 (490) 651 651
HSBC Bank USA, N.A. 11,778 (7,099) 4,679 4,679
JPMorgan Chase Bank, N.A. 28,321 (30,847) (2,526) 8,101
Morgan Stanley Capital Services Inc. 89,259 (22,288) 66,971 35,244 66,971
National Australia Bank Ltd. 29,312 (653) 28,659 23,010 5,649
Royal Bank of Canada 13,597 (21,240) (7,643) 36,486
Standard Chartered Bank 62,094 (17,702) 44,392 17,949 26,443
State Street Bank & Trust Co. 69,294 (31,642) 37,652 55,526 37,652
The Bank of New York Mellon Corp. 66,714 (41,896) 24,818 31,795 24,818
Toronto-Dominion Bank 64,760 (108,040) (43,280) 166,055
UBS AG 28,598 (40,032) (11,434) 30,025
Exchange-Traded
Futures Contracts
(9,131) (9,131) 637
Total 710,941 (516,978) 193,963 467,952 47,995 253,488
1  Absent an event of default or early termination, derivative assets and liabilities are presented gross and not offset in the Statement of Assets and Liabilities.
2  Securities or other assets pledged as collateral are noted in the Schedule of Investments and Statement of Assets and Liabilities. Securities or other assets received as collateral are held in a segregated account and not included in the fund’s security holdings in the Schedule of Investments.
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Total International Bond II Index Fund
3  Net Exposure represents the net amount receivable from the counterparty in the event of default. Counterparties are not required to exchange collateral if amount is below a specified minimum transfer amount.
5. Federal Income Taxes: The fund intends to qualify as a regulated investment company and distribute all of its income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for the open federal and state income tax year, and has concluded that no provision for income tax is required in the fund’s financial statements.
6. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end and may differ from net investment income and realized capital gains for financial reporting purposes.
7. Credit Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternate rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the period ended October 31, 2021, the fund did not utilize the credit facilities or the Interfund Lending Program.
8. Other: Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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.
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Total International Bond II Index Fund
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 and are generally settled twice a month.
Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2021, the fund had contributed to Vanguard capital in the amount of $2,399,000, representing less than 0.01% of the fund’s net assets and 0.96% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.
C. Various inputs may be used to determine the value of the fund’s investments and derivatives. 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). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
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Total International Bond II Index Fund
The following table summarizes the market value of the fund’s investments and derivatives as of October 31, 2021, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
U.S. Government and Agency Obligations 844 844
Corporate Bonds 14,156,167 14,156,167
Sovereign Bonds 55,561,422 55,561,422
Temporary Cash Investments 246,423 246,423
Total 246,423 69,718,433 69,964,856
Derivative Financial Instruments        
Assets        
Forward Currency Contracts 710,941 710,941
Liabilities        
Futures Contracts1 1,223 1,223
Forward Currency Contracts 507,847 507,847
Total 1,223 507,847 509,070
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
D. At October 31, 2021, the fair values of derivatives were reflected in the Statement of Assets and Liabilities as follows:
    
Statement of Assets and Liabilities Interest Rate
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Total
($000)
Unrealized Appreciation—Forward Currency Contracts 710,941 710,941
Total Assets 710,941 710,941
       
Unrealized Depreciation—Futures Contracts1 1,223 1,223
Unrealized Depreciation—Forward Currency Contracts 507,847 507,847
Total Liabilities 1,223 507,847 509,070
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the period ended October 31, 2021, were:
Realized Net Gain (Loss) on Derivatives Interest Rate
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Total
($000)
Futures Contracts 1,790 1,790
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Total International Bond II Index Fund
  Interest Rate
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Total
($000)
Forward Currency Contracts 2,320,737 2,320,737
Realized Net Gain (Loss) on Derivatives 1,790 2,320,737 2,322,527
Change in Unrealized Appreciation (Depreciation) on Derivatives
Futures Contracts (1,223) (1,223)
Forward Currency Contracts 203,094 203,094
Change in Unrealized Appreciation (Depreciation) on Derivatives (1,223) 203,094 201,871
E. Permanent differences between book-basis and tax-basis components of net assets, if any, are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share.
Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the deferral of losses from wash sales; and the recognition of gain or loss from foreign currency hedges. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:
  Amount
($000)
Undistributed Ordinary Income 211,341
Undistributed Long-Term Gains
Capital Loss Carryforwards (4,682)
Qualified Late-Year Losses
Net Unrealized Gains (Losses) (1,032,498)
The tax character of distributions paid was as follows:
  Year Ended October 31,
  2021
Amount
($000)
Ordinary Income* 144,734
Long-Term Capital Gains
Total 144,734
* Includes short-term capital gains, if any.
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Total International Bond II Index Fund
As of October 31, 2021, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:
  Amount
($000)
Tax Cost 70,902,060
Gross Unrealized Appreciation 2,418,159
Gross Unrealized Depreciation (3,355,364)
Net Unrealized Appreciation (Depreciation) (937,205)
F. During the period ended October 31, 2021, the fund purchased $82,872,613,000 of investment securities and sold $9,300,381,000 of investment securities, other than temporary cash investments. Purchases and sales include $50,122,154,000 and $0, respectively, in connection with in-kind purchases and redemptions of the fund's capital shares.
The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the period ended October 31, 2021, such purchases were $140,589,000 and sales were $8,374,000, resulting in net realized gain of $5,000; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
G. Capital share transactions for each class of shares were:
    
  February 17, 20211 to October 31, 2021
  Amount
($000)
Shares
(000)
Investor Shares    
Issued 1,334,255 132,981
Issued in Lieu of Cash Distributions 2,106 210
Redeemed (1)
Net Increase (Decrease)—Investor Shares 1,336,360 133,191
Admiral Shares    
Issued 30,794,638 1,535,052
Issued in Lieu of Cash Distributions 47,157 2,348
Redeemed
Net Increase (Decrease)—Admiral Shares 30,841,795 1,537,400
Institutional Shares    
Issued 39,949,299 1,333,258
Issued in Lieu of Cash Distributions 95,471 3,208
Redeemed (328,726) (10,920)
Net Increase (Decrease)—Institutional Shares 39,716,044 1,325,546
1 Inception date for the Institutional Shares, Investor Shares and Admiral Shares inception date was February 26, 2021.
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Total International Bond II Index Fund
H. Management has determined that no events or transactions occurred subsequent to October 31, 2021, that would require recognition or disclosure in these financial statements.
157


Report of Independent Registered Public Accounting Firm
To the Board of Trustees of Vanguard Charlotte Funds and Shareholders of Vanguard Total International Bond II Index Fund
Opinion on the Financial Statements
We have audited the accompanying statement of assets and liabilities, including the schedule of investments, of Vanguard Total International Bond II Index Fund (one of the funds constituting Vanguard Charlotte Funds, referred to hereafter as the "Fund") as of October 31, 2021, the related statements of operations and changes in net assets, including the related notes, and the financial highlights for the period February 17, 2021 (inception) through October 31, 2021 (collectively referred to as the "financial statements"). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of October 31, 2021, and the results of its operations, changes in its net assets and the financial highlights for the period February 17, 2021 (inception) through October 31, 2021 in conformity with accounting principles generally accepted in the United States of America.
Basis for Opinion
These financial statements are the responsibility of the Fund's management. Our responsibility is to express an opinion on the Fund's financial statements based on our audit. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.
We conducted our audit of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.
Our audit included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audit also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of October 31, 2021 by correspondence with the custodian, transfer agent and brokers; when replies were not received from the brokers, we performed other auditing procedures. We believe that our audit provides a reasonable basis for our opinion.
/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 17, 2021
We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.
158



Special 2021 tax information (unaudited) for Vanguard Total International Bond II Index Fund
This information for the fiscal period ended October 31, 2021, is included pursuant to provisions of the Internal Revenue Code.
The fund designates to shareholders foreign source income of $183,722,000 and foreign taxes paid of $4,342,000. Shareholders will receive more detailed information with their Form 1099-DIV in January 2022 to determine the calendar-year amounts to be included on their 2021 tax returns.
The percentage of the ordinary dividends reported by the fund that is treated as a Section 163(j) interest dividend and thus is eligible to be treated as interest income for purposes of Section 163(j) and the regulations thereunder is 100%.
159


"Bloomberg®" and Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index (USD Hedged) are service marks of Bloomberg Finance L.P. and its affiliates, including Bloomberg Index Services Limited (BISL), the administrator of the index (collectively, Bloomberg), and have been licensed for use for certain purposes by The Vanguard Group, Inc. (Vanguard).
The Total International Bond II Index Fund is not sponsored, endorsed, sold or promoted by Bloomberg. Bloomberg does not make any representation or warranty, express or implied, to the owners of or counterparties to the Total International Bond II Index Fund or any member of the public regarding the advisability of investing in securities generally or in the Total International Bond II Index Fund particularly. The only relationship of Bloomberg to Vanguard is the licensing of certain trademarks, trade names and service marks and of the Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index (USD Hedged), which is determined, composed and calculated by BISL without regard to Vanguard or the Total International Bond II Index Fund. Bloomberg has no obligation to take the needs of Vanguard or the owners of the Total International Bond II Index Fund into consideration in determining, composing or calculating the Bloomberg Global Aggregate ex-USD Float Adjusted RIC Capped Index (USD Hedged). Bloomberg is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Total International Bond II Index Fund to be issued. Bloomberg shall not have any obligation or liability, including, without limitation, to Total International Bond II Index Fund customers, in connection with the administration, marketing or trading of the Total International Bond II Index Fund.
BLOOMBERG DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE BLOOMBERG GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED) OR ANY DATA RELATED THERETO AND SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS OR INTERRUPTIONS THEREIN. BLOOMBERG DOES NOT MAKE ANY WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY VANGUARD, OWNERS OF THE TOTAL INTERNATIONAL BOND II INDEX FUND OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE BLOOMBERG GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED) OR ANY DATA RELATED THERETO. BLOOMBERG DOES NOT MAKE ANY EXPRESS OR IMPLIED WARRANTIES AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE BLOOMBERG GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED) OR ANY DATA RELATED THERETO. WITHOUT LIMITING ANY OF THE FOREGOING, TO THE MAXIMUM EXTENT ALLOWED BY LAW, BLOOMBERG, ITS LICENSORS, AND ITS AND THEIR RESPECTIVE EMPLOYEES, CONTRACTORS, AGENTS, SUPPLIERS, AND VENDORS SHALL HAVE NO LIABILITY OR RESPONSIBILITY WHATSOEVER FOR ANY INJURY OR DAMAGES—WHETHER DIRECT, INDIRECT, CONSEQUENTIAL, INCIDENTAL, PUNITIVE OR OTHERWISE—ARISING IN CONNECTION WITH THE TOTAL INTERNATIONAL BOND II INDEX FUND OR BLOOMBERG GLOBAL AGGREGATE EX-USD FLOAT ADJUSTED RIC CAPPED INDEX (USD HEDGED) OR ANY DATA OR VALUES RELATING THERETO—WHETHER ARISING FROM THEIR NEGLIGENCE OR OTHERWISE, EVEN IF NOTIFIED OF THE POSSIBILITY THEREOF.
© 2021 Bloomberg.
Used with Permission. Source: Bloomberg Index Services Limited. Copyright 2021, Bloomberg. 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.
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 214 Vanguard funds.
Information for each trustee and executive officer of the fund appears below. That information, as well as the Vanguard fund count, is as of the date on the cover of this fund report. 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.
Interested Trustee1
Mortimer J. Buckley
Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chairman of the board (2019–present) of Vanguard and of each of the investment companies served by Vanguard; chief executive officer (2018–present) of Vanguard; chief executive officer, president, and trustee (2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) and trustee (2009–2017) of the Children’s Hospital of Philadelphia; and trustee (2018–present) and vice chair (2019–present) of The Shipley School.
Independent Trustees
Emerson U. Fullwood
Born in 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). Former president of the Worldwide Channels Group, Latin
America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.
Amy Gutmann
Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) 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.
F. Joseph Loughrey
Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services). Director of the V Foundation.
 
1  Mr. Buckley is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.


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. Chairman of the board of Saint Anselm College.
Mark Loughridge
Born in 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) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.
Scott C. Malpass
Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (retired June 2020) and vice president (retired June 2020) of the University of Notre Dame. Assistant professor (retired June 2020) of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Member of the board of Catholic Investment Services, Inc. (investment advisors) and the board of superintendence of the Institute for the Works of Religion.
Deanna Mulligan
Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: board chair (2020), chief executive officer (2011–2020), and president (2010–2019) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of the Guardian Life Insurance Company of America. Member of the board of the Economic Club of New York. Trustee of the Partnership for New York City (business leadership), Chief Executives for Corporate Purpose, NewYork-Presbyterian Hospital, and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.
André F. Perold
Born in 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 (private investment firm). Member of the board
(2018–present) of RIT Capital Partners (investment firm). Member of the investment committee of Partners Health Care System.
Sarah Bloom Raskin
Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Professor (2020–present), Distinguished Fellow of the Global Financial Markets Center (2020–present), and Rubenstein Fellow (2017–2020) at Duke University. Trustee (2017–present) of Amherst College and member of Amherst College Investment Committee (2019–present). Member of the Regenerative Crisis Response Committee (2020–present).
David A. Thomas
Born in 1956. Trustee since July 2021. Principal occupation(s) during the past five years and other experience: president of Morehouse College (2018–present). Professor of business administration, emeritus at Harvard University (2017–2018). Dean (2011–2016) and professor of management (2016–2017) at the Georgetown University McDonough School of Business. Director of DTE Energy Company (2013–present). Trustee of Common Fund (2019–present).
Peter F. Volanakis
Born in 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) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the BMW Group Mobility Council.


Executive Officers
Christine M. Buchanan
Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (2021–present) and treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG (audit, tax, and advisory services).
David Cermak
Born in 1960. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Finance director (2019–present) of each of the investment companies served by Vanguard. Managing director and head (2017–present) of Vanguard Investments Singapore. Managing director and head (2017–2019) of Vanguard Investments Hong Kong. Representative director and head (2014–2017) of Vanguard Investments Japan.
John Galloway
Born in 1973. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (September 2020–present) of each of the investment companies served by Vanguard. Head of Investor Advocacy (February 2020–present) and head of Marketing Strategy and Planning (2017–2020) at Vanguard. Deputy assistant to the President of the United States (2015).
Peter Mahoney
Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.
Anne E. Robinson
Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.
Michael Rollings
Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.
John E. Schadl
Born in 1972. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2019–present) of Vanguard and of each of the investment companies served by Vanguard. Assistant vice president (2019–present) of Vanguard Marketing Corporation.
Vanguard Senior Management Team
Matthew Benchener Thomas M. Rampulla
Joseph Brennan Karin A. Risi
Mortimer J. Buckley Anne E. Robinson
Gregory Davis Michael Rollings
John James Nitin Tandon
John T. Marcante Lauren Valente
Chris D. Mclsaac  


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All comparative mutual fund data are from Morningstar, Inc., unless otherwise noted.
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You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.
© 2021 The Vanguard Group, Inc.
All rights reserved.
Vanguard Marketing Corporation, Distributor.
Q44380 122021

 

 

Annual Report  |  October 31, 2021
Vanguard Global Credit Bond Fund

Contents
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.

Your Fund’s Performance at a Glance
For the 12 months ended October 31, 2021, Vanguard Global Credit Bond Fund returned 2.07% for Investor Shares and 2.18% for Admiral Shares, outpacing the 1.25% return of its benchmark index.
The global economy continued to recover from the sharp pandemic-induced contraction in the spring of 2020. Countries that were more successful in containing the virus, whether through vaccinations, lockdowns, or both, generally fared better economically. Swift, extensive fiscal and monetary support from policymakers was also key to the rebound.
Bond yields generally moved higher across much of the developed world during the fiscal year amid inflation concerns and the prospect that some developed-market central banks might scale back bond-buying programs or raise interest rates.
The fund’s outperformance in the first part of the period came largely from having more credit exposure to some recovery sectors such as energy, to BBB-rated bonds, and to opportunities in emerging markets.
Adopting a more defensive position later in the period, including shortening the fund’s duration to reduce its sensitivity to interest rate increases, also benefited.
The fund regularly uses derivatives to hedge portfolio risks. The fund’s holdings in futures, forward foreign currency, options, and swaps had a negative impact on performance over this period.
Market Barometer
  Average Annual Total Returns
Periods Ended October 31, 2021
  One Year Three Years Five Years
Stocks      
Russell 1000 Index (Large-caps) 43.51% 22.01% 19.16%
Russell 2000 Index (Small-caps) 50.80 16.47 15.52
Russell 3000 Index (Broad U.S. market) 43.90 21.62 18.91
FTSE All-World ex US Index (International) 30.23 12.42 10.05
Bonds      
Bloomberg U.S. Aggregate Bond Index
(Broad taxable market)
-0.48% 5.63% 3.10%
Bloomberg Municipal Bond Index
(Broad tax-exempt market)
2.64 5.17 3.41
FTSE Three-Month U.S. Treasury Bill Index 0.05 1.08 1.12
CPI      
Consumer Price Index 6.22% 3.03% 2.73%
1

Advisor’s Report
For the 12 months ended October 31, 2021, Vanguard Global Credit Bond Fund returned 2.07% for Investor Shares and 2.18% for Admiral Shares. The fund outperformed its benchmark, which returned 1.25%.
The 30-day SEC yields for the fund’s share classes fluctuated over the period but finished where they started: 1.46% for Investor Shares and 1.56% for Admiral Shares.
The investment environment
Shortly after period began, news of promising clinical trial data for COVID-19 vaccines helped lift the outlook for the global economy, especially the sectors hardest-hit by restrictions and lockdowns. Yet the recovery has been uneven. Countries that contained the virus more successfully, mostly in Asia, maintained better economic momentum through the health crisis, while those ahead of the curve in vaccinations were quicker to rebound.
Governments and central banks in developed markets continued to provide extensive fiscal and monetary support. As the pandemic spread, many policymakers had worked quickly to cut interest rates, expand or extend central bank asset-purchase programs, pass fiscal stimulus packages, and provide relief to workers through enhanced unem- ployment benefits and job retention programs.
Those efforts generally helped bring unemployment rates down and unleash pent-up consumer demand once the
global economy began to reopen. Buoyed by extreme levels of monetary accommodation from key central banks, many emerging-market countries were able to offer their economies unusually extensive counter-cyclical fiscal support.
The investment environment grew a little more challenging as the period drew to a close. Supply disruptions and labor shortages in some sectors suggested that the rise in inflation might not be as transitory as many had hoped, leading to greater inflation expectations. And on the policy front, a number of developed- market central banks signaled that they might soon start scaling back their bond-buying programs or raising interest rates, while many developing countries have already started to do so.
Government bond yields generally ended the period higher. With the economic recovery supporting solid corporate earnings, however, the average spread between corporate bonds and their government counterparts of similar maturities narrowed.
Management of the fund
The fund outperformed during the period largely because of sector rotations and bottom-up security selection.
We gradually reduced our allocation to high-quality bonds, which served us well during the turmoil early in 2020. We rotated into sectors that investors had been avoiding but that we believed would benefit the most from the recovery that was taking hold. For example, we started incrementally adding exposure to energy,
 
2

one of the laggards going into the recovery. That allocation added to relative performance as the sector’s risk premium compressed. Other notable examples were automakers and airlines.
The fund entered the period with a sizable position in emerging-market bonds as their spreads had experienced a sharp pandemic-induced widening earlier in 2020. As that segment recovered and spreads compressed, we gradually began reducing our overall exposure. We still found opportunities among long-dated, high-yield emerging-market bonds after they repriced late in the period—Ecuador in particular added value for us. Overall, we are now defensively positioned in emerging markets with some selective exposure to interest rates in Brazil, Russia, and Mexico.
We added selectively to our positions in BBB-rated bonds in anticipation of an improved macroeconomic environment, which proved a good call. Our exposure to banks and real estate investment trusts also helped relative performance, as did security selection among U.S. and European corporate issuers.
As the economic recovery began to take root, we shortened the fund’s duration (a measure of sensitivity to changes in interest rates) in anticipation that central banks would start to withdraw some monetary policy support. That tactic helped us capture some outperformance versus the benchmark when government yields started to climb. Yield-curve positioning was another positive. One area where we missed out was in
high-yield bonds, which proved more resilient than we had expected.
Outlook
In our view, because of the overall strength of the economic recovery, the chances of a recession in the next six to nine months are very low. In the near term, however, increased financial market volatility and potential spikes in energy prices could be disruptive.
The recent upswing in inflation could prove to be less transitory than currently expected. The combination of higher demand caused by the lifting of pandemic restrictions and lower supply because of labor and input shortages globally has pushed consumer prices higher in most economies. We anticipate that the supply/demand frictions will persist till well into 2022 and keep inflation elevated across developed and emerging markets.
Central bankers will have to strike a delicate balance between keeping a lid on inflation expectations in the face of negative supply-side shocks and supporting a fragile economic recovery.
In the global credit bond market, differences between and within sectors having narrowed significantly. This has prompted us to move the portfolio closer to a neutral stance, giving us dry powder to use as price dislocations arise.
With our global fixed income team of portfolio managers, analysts, and traders and our bottom-up, fundamentals-based research process and disciplined approach to risk-taking, we are well-positioned to
3

identify and invest in potential pockets of outperformance as opportunities present themselves.
Samuel C. Martinez, CFA
Daniel Shaykevich, Principal
Arvind Narayanan, CFA
Vanguard Fixed Income Group
November 15, 2021
4

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.
5

Six Months Ended October 31, 2021      
  Beginning
Account Value
4/30/2021
Ending
Account Value
10/31/2021
Expenses
Paid During
Period
Based on Actual Fund Return      
Global Credit Bond Fund      
Investor Shares $1,000.00 $1,014.40 $1.78
Admiral™ Shares 1,000.00 1,014.40 1.27
Based on Hypothetical 5% Yearly Return      
Global Credit Bond Fund      
Investor Shares $1,000.00 $1,023.44 $1.79
Admiral Shares 1,000.00 1,023.94 1.28
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 0.35% for Investor Shares and 0.25% for Admiral 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 (184/365).
6

Global Credit Bond 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.
Cumulative Performance: November 15, 2018, Through October 31, 2021
Initial Investment of $10,000
      Average Annual Total Returns
Periods Ended October 31, 2021
    One
Year
Since
Inception
(11/15/2018)
Final Value
of a $10,000
Investment
 Global Credit Bond Fund Investor Shares 2.07% 7.89% $12,519
 Bloomberg Global Aggregate Credit Index (USD Hedged) 1.25 6.55 12,066
“Since Inception” performance is calculated from the Investor Shares’ inception date for both the fund and its comparative standard(s).
       
    One
Year
Since
Inception
(11/15/2018)
Final Value
of a $50,000
Investment
Global Credit Bond Fund Admiral Shares 2.18% 7.99% $62,772
Bloomberg Global Aggregate Credit Index (USD Hedged) 1.25 6.55 60,330
“Since Inception” performance is calculated from the Admiral Shares’ inception date for both the fund and its comparative standard(s).
See Financial Highlights for dividend and capital gains information.
7

Global Credit Bond Fund
Fund Allocation
As of October 31, 2021
 
United States 55.6%
United Kingdom 6.5
Germany 5.1
Australia 3.9
Canada 2.9
Luxembourg 2.7
Netherlands 1.9
Switzerland 1.8
Japan 1.5
France 1.4
Spain 1.3
Italy 1.3
Mexico 1.1
Denmark 1.0
Other 12.0
The table reflects the fund’s investments, except for short-term investments and derivatives.
8

Global Credit Bond Fund
Financial Statements
Schedule of Investments
As of October 31, 2021
The fund files its complete schedule of portfolio holdings with the Securities and Exchange Commission (SEC) for the first and third quarters of each fiscal year as an exhibit to its reports on Form N-PORT. The fund’s Form N-PORT reports are available on the SEC’s website at www.sec.gov.
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
U.S. Government and Agency Obligations (6.7%)
1,2,3 United States Treasury Note/Bond   0.125% 2/28/23–1/15/24  17,700  17,604
United States Treasury Note/Bond   1.125%         2/15/31   1,000     965
Total U.S. Government and Agency Obligations (Cost $18,668) 18,569
Asset-Backed/Commercial Mortgage-Backed Securities (0.3%)
United States (0.3%)
4,5 BAMLL Commercial Mortgage Securities Trust Series 2019-BPR   3.112%         11/5/32     100     103
5 COMM Mortgage Trust Series 2015-CR27   4.450%        10/10/48     135     144
4,5 EDvestinU Private Education Loan Issue No. 1 LLC Series 2019-A   3.580%        11/25/38      53      55
4,5 Fair Square Issuance Trust Series 2020-AA   2.900%         9/20/24     100     100
5 GM Financial Automobile Leasing Trust Series 2020-1   2.280%         6/20/24      10      10
4,5 Navient Private Education Loan Trust Series 2018-BA   3.610%        12/15/59     425     438
4,5 Santander Retail Auto Lease Trust Series 2020-A   2.520%        11/20/24      20      20
4,5 Santander Retail Auto Lease Trust Series 2020-B   1.980%        10/20/25     100     101
Total Asset-Backed/Commercial Mortgage-Backed Securities (Cost $939) 971
Corporate Bonds (75.9%)
Australia (3.6%)
5,6 APT Pipelines Ltd.   1.250%         3/15/33     400     452
5,7 Aurizon Finance Pty. Ltd.   3.000%          3/9/28   1,000     716
4 Australia & New Zealand Banking Group Ltd.   2.950%         7/22/30     550     567
4 FMG Resources August 2006 Pty. Ltd.   4.500%         9/15/27      10      10
5,6 Glencore Capital Finance DAC   1.250%          3/1/33     500     552
8 Glencore Finance Europe Ltd.   6.000%          4/3/22   1,282   1,792
7,9 Macquarie Bank Ltd., 3M Australian Bank Bill Rate + 2.900%   2.912%         5/28/30   1,250     985
5,7 Macquarie Group Ltd.   3.250%        12/15/22     400     302
4 Macquarie Group Ltd.   1.340%         1/12/27     350     343
5,7,9 Macquarie Group Ltd., 3M Australian Bank Bill Rate + 1.150%   1.161%        12/15/22     600     452
5,7 Pacific National Finance Pty. Ltd.   5.400%         5/12/27   1,190     965
5,7 Qantas Airways Ltd.   4.750%        10/12/26   1,100     885
10 Rio Tinto Finance USA Ltd.   2.750%         11/2/51     140     139
5,6 Vicinity Centres Trust   1.125%         11/7/29     872   1,022
5,7 Westpac Banking Corp.   4.334%         8/16/29     500     395
9

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
5 Westpac Banking Corp.   2.894%          2/4/30     500     514
Westpac Banking Corp.   2.963%        11/16/40      75      75
                                          10,166
Austria (0.2%)
6 JAB Holdings BV   3.375%         4/17/35     400     556
6 JAB Holdings BV   2.250%        12/19/39     100     121
                                             677
Belgium (0.5%)
5 Anheuser-Busch Cos. LLC   4.700%          2/1/36     230     278
5 Anheuser-Busch Cos. LLC   4.900%          2/1/46      25      32
Anheuser-Busch InBev Finance Inc.   4.625%          2/1/44     100     121
Anheuser-Busch InBev Worldwide Inc.   5.450%         1/23/39     275     361
Anheuser-Busch InBev Worldwide Inc.   3.750%         7/15/42     100     109
Anheuser-Busch InBev Worldwide Inc.   5.550%         1/23/49     200     280
Anheuser-Busch InBev Worldwide Inc.   4.750%         4/15/58     100     128
                                           1,309
Canada (1.6%)
4 1011778 BC ULC   3.875%         1/15/28      10      10
4 1011778 BC ULC   4.375%         1/15/28      55      55
4 Air Canada   3.875%         8/15/26      20      20
Canadian Natural Resources Ltd.   2.950%         1/15/23      50      51
Canadian Natural Resources Ltd.   3.800%         4/15/24      50      53
Canadian Natural Resources Ltd.   3.900%          2/1/25     110     118
Canadian Natural Resources Ltd.   3.850%          6/1/27     180     195
Canadian Natural Resources Ltd.   2.950%         7/15/30     100     103
Canadian Natural Resources Ltd.   6.250%         3/15/38      60      80
Cenovus Energy Inc.   5.375%         7/15/25     462     519
Cenovus Energy Inc.   4.250%         4/15/27      92     101
Cenovus Energy Inc.   6.750%        11/15/39      50      69
Cenovus Energy Inc.   3.750%         2/15/52     100     101
Enbridge Inc.   3.125%        11/15/29      42      44
4 Great-West Lifeco US Finance 2020 LP   0.904%         8/12/25     285     279
4 Hudbay Minerals Inc.   4.500%          4/1/26      20      20
4 MEG Energy Corp.   6.500%         1/15/25      27      28
4 MEG Energy Corp.   5.875%          2/1/29       5       5
Nutrien Ltd.   4.200%          4/1/29     125     142
Nutrien Ltd.   4.125%         3/15/35      70      80
4 Parkland Corp.   4.500%         10/1/29      20      20
Suncor Energy Inc.   6.500%         6/15/38      60      83
Suncor Energy Inc.   3.750%          3/4/51      90      98
11 Toronto-Dominion Bank   2.850%          3/8/24   1,650   1,372
TransCanada PipeLines Ltd.   1.000%        10/12/24     300     299
TransCanada PipeLines Ltd.   2.500%        10/12/31     150     149
TransCanada PipeLines Ltd.   4.625%          3/1/34     100     117
TransCanada PipeLines Ltd.   6.200%        10/15/37     120     164
TransCanada PipeLines Ltd.   4.875%         5/15/48      75      96
                                           4,471
China (0.1%)
4 NXP BV   3.250%         5/11/41     250     255
Czech Republic (0.3%)
5,8 CPI Property Group SA   2.750%         1/22/28     700     965
Denmark (1.0%)
4 Danske Bank A/S   1.171%         12/8/23     300     301
10

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
5,8 Danske Bank A/S   2.250%         1/14/28     900   1,241
5,6 Danske Bank A/S   1.000%         5/15/31   1,000   1,148
                                           2,690
France (1.3%)
4 BNP Paribas SA   2.819%        11/19/25     380     394
4 BNP Paribas SA   2.219%          6/9/26     250     255
4 BNP Paribas SA   1.323%         1/13/27     200     195
5,6 BNP Paribas SA   1.125%         1/15/32     500     578
4 BNP Paribas SA   2.824%         1/26/41     225     215
8 Westfield America Management Ltd.   2.125%         3/30/25   1,437   1,982
                                           3,619
Germany (3.6%)
4 Bayer US Finance II LLC   4.375%        12/15/28     275     310
4 Daimler Finance North America LLC   0.750%          3/1/24     465     463
5 Deutsche Bank AG   2.222%         9/18/24     150     153
Deutsche Bank AG   2.129%        11/24/26     165     166
Deutsche Bank AG   3.035%         5/28/32     250     252
4 Siemens Financieringsmaatschappij NV   1.200%         3/11/26     220     217
5,6 Volkswagen Financial Services AG   2.250%        10/16/26     700     878
5,7 Volkswagen Financial Services Australia Pty. Ltd.   3.100%         4/17/23     500     385
5,8 Volkswagen Financial Services NV   1.125%         9/18/23   2,700   3,670
4 Volkswagen Group of America Finance LLC   3.125%         5/12/23     200     207
4 Volkswagen Group of America Finance LLC   1.625%        11/24/27     150     147
5,6 Volkswagen Leasing GmbH   1.375%         1/20/25     940   1,124
5,6 Volkswagen Leasing GmbH   0.375%         7/20/26     575     660
5,6 Vonovia Finance BV   1.625%         10/7/39     400     466
5,6 Vonovia SE   0.625%        12/14/29     800     907
                                          10,005
Ireland (0.8%)
AerCap Ireland Capital DAC   4.500%         9/15/23     455     482
AerCap Ireland Capital DAC   1.150%        10/29/23     300     300
AerCap Ireland Capital DAC   4.450%          4/3/26     275     300
AerCap Ireland Capital DAC   3.000%        10/29/28     300     305
AerCap Ireland Capital DAC   3.850%        10/29/41     300     311
4 Avolon Holdings Funding Ltd.   2.125%         2/21/26     200     198
4 Avolon Holdings Funding Ltd.   4.250%         4/15/26     225     242
                                           2,138
Italy (1.2%)
4 Intesa Sanpaolo SpA   3.250%         9/23/24     200     210
5,8 Intesa Sanpaolo SpA   2.500%         1/15/30     200     276
5,8 Intesa Sanpaolo SpA   2.625%         3/11/36     183     248
5,6 UniCredit SpA   1.200%         1/20/26   2,194   2,573
                                           3,307
Japan (1.0%)
Mitsubishi UFJ Financial Group Inc.   2.309%         7/20/32     600     590
Mizuho Financial Group Inc.   1.234%         5/22/27     260     253
4 Nissan Motor Co. Ltd.   3.043%         9/15/23     450     466
4 Nissan Motor Co. Ltd.   4.345%         9/17/27     550     596
4 NTT Finance Corp.   2.065%          4/3/31      40      40
Sumitomo Mitsui Financial Group Inc.   3.544%         1/17/28     225     245
Takeda Pharmaceutical Co. Ltd.   4.400%        11/26/23     250     268
11

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Takeda Pharmaceutical Co. Ltd.   3.025%          7/9/40     300     303
Takeda Pharmaceutical Co. Ltd.   3.175%          7/9/50     100     102
                                           2,863
Kazakhstan (0.1%)
4 Development Bank of Kazakhstan JSC   2.950%          5/6/31     200     198
Luxembourg (2.6%)
6 Acef Holding SCA   0.750%         6/14/28   1,449   1,646
5,6 Blackstone Property Partners Europe Holdings Sarl   0.500%         9/12/23   2,650   3,082
5,6 Blackstone Property Partners Europe Holdings Sarl   1.750%         3/12/29     400     469
6 CBRE Global Investors Open-Ended Fund SCA SICAV-SIF Pan European Core Fund   0.500%         1/27/28   1,100   1,237
5,6 Prologis International Funding II SA   1.625%         6/17/32     576     698
                                           7,132
Malaysia (0.2%)
5 Petronas Capital Ltd.   3.500%         4/21/30     470     509
Mexico (0.1%)
5 Grupo Bimbo SAB de CV   4.500%         1/25/22     300     302
Netherlands (1.8%)
Cooperatieve Rabobank UA   4.625%         12/1/23     250     269
6 Louis Dreyfus Co. Finance BV   2.375%        11/27/25   1,800   2,222
5,8 NIBC Bank NV   3.125%        11/15/23   1,400   1,978
Shell International Finance BV   2.375%         11/7/29     190     195
Shell International Finance BV   4.375%         5/11/45      70      87
Shell International Finance BV   3.750%         9/12/46     141     164
                                           4,915
New Zealand (0.8%)
5,6 ASB Finance Ltd.   0.250%          9/8/28   1,400   1,577
5,6 ASB Finance Ltd.   0.500%         9/24/29     570     651
                                           2,228
Peru (0.2%)
4 Minsur SA   4.500%        10/28/31     575     568
Poland (0.0%)
4 Canpack SA   3.875%        11/15/29      40      40
Russia (0.5%)
5 Gazprom PJSC Via Gaz Capital SA   6.510%          3/7/22     400     408
5 Gazprom PJSC Via Gaz Capital SA   5.150%         2/11/26     433     476
5 Gazprom PJSC Via Gaz Finance plc   2.950%         1/27/29     249     244
5 Lukoil International Finance BV   4.750%         11/2/26     200     218
                                           1,346
South Korea (0.0%)
4 Clark Equipment Co.   5.875%          6/1/25      13      14
Spain (1.2%)
Banco Santander SA   2.749%         12/3/30     270     266
5,6 IE2 Holdco SAU   2.875%          6/1/26   2,100   2,668
Telefonica Emisiones SA   4.103%          3/8/27     235     260
Telefonica Emisiones SA   4.665%          3/6/38     250     291
                                           3,485
Sweden (0.6%)
5,6 Balder Finland OYJ   1.000%         1/20/29     653     733
12

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
5,6 Balder Finland OYJ   1.375%         5/24/30     200     227
6 Heimstaden Bostad Treasury BV   0.750%          9/6/29     600     661
                                           1,621
Switzerland (1.7%)
5,6 Credit Suisse Group AG   0.650%         1/14/28     700     799
5,8 Credit Suisse Group AG   2.250%          6/9/28     700     962
4 Credit Suisse Group AG   3.091%         5/14/32     400     407
6 Helvetia Europe SA   2.750%         9/30/41     700     873
Novartis Capital Corp.   2.000%         2/14/27     150     153
Novartis Capital Corp.   2.750%         8/14/50      60      61
4 UBS Group AG   2.650%          2/1/22     400     402
4 UBS Group AG   4.125%         9/24/25     300     328
5,6 Wizz Air Finance Co. BV   1.350%         1/19/24     600     704
                                           4,689
United Kingdom (5.5%)
AstraZeneca Finance LLC   1.200%         5/28/26      75      74
AstraZeneca Finance LLC   1.750%         5/28/28      75      75
AstraZeneca plc   4.000%         1/17/29     225     256
AstraZeneca plc   1.375%          8/6/30     100      95
8 Aviva plc   6.125%        11/14/36     900   1,452
Barclays plc   3.684%         1/10/23      65      65
Barclays plc   4.375%         9/11/24     250     270
Barclays plc   1.007%        12/10/24     440     440
5 Barclays plc   3.932%          5/7/25     300     319
Barclays plc   5.200%         5/12/26     200     226
Barclays plc   4.337%         1/10/28     275     303
5 Barclays plc   5.088%         6/20/30     200     230
BAT Capital Corp.   4.390%         8/15/37     475     509
BAT Capital Corp.   4.540%         8/15/47     135     142
BAT International Finance plc   1.668%         3/25/26     300     297
5,8 BAT International Finance plc   2.250%          9/9/52     200     199
BP Capital Markets plc   3.506%         3/17/25      50      54
BP Capital Markets plc   3.279%         9/19/27      85      92
5,8 Gatwick Funding Ltd.   2.500%         4/15/30     400     540
GlaxoSmithKline Capital plc   0.534%         10/1/23     200     200
GlaxoSmithKline Capital plc   3.000%          6/1/24     250     263
5,8 Heathrow Funding Ltd.   6.750%         12/3/26     240     402
HSBC Holdings plc   0.976%         5/24/25     500     496
5 HSBC Holdings plc   2.633%         11/7/25     260     269
5 HSBC Holdings plc   1.645%         4/18/26     275     274
5 HSBC Holdings plc   2.099%          6/4/26     255     258
HSBC Holdings plc   1.589%         5/24/27     210     206
8 HSBC Holdings plc   1.750%         7/24/27   1,000   1,350
5 HSBC Holdings plc   2.013%         9/22/28     300     295
HSBC Holdings plc   2.804%         5/24/32     100     101
HSBC Holdings plc   6.500%         9/15/37     125     173
5,8 HSBC Holdings plc   6.000%         3/29/40     200     380
4 INEOS Quattro Finance 2 plc   3.375%         1/15/26      10      10
5 Lloyds Banking Group plc   2.858%         3/17/23     400     403
Lloyds Banking Group plc   0.695%         5/11/24     405     405
5 Lloyds Banking Group plc   3.870%          7/9/25     275     294
NatWest Group plc   3.875%         9/12/23     200     211
5 NatWest Group plc   4.269%         3/22/25     270     289
5 NatWest Group plc   3.073%         5/22/28     225     235
13

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
5,6 Phoenix Group Holdings plc   4.375%         1/24/29     700     943
RELX Capital Inc.   3.000%         5/22/30     100     105
4 Rolls-Royce plc   5.750%        10/15/27      53      59
4 Standard Chartered plc   1.319%        10/14/23     250     251
5 Unilever Capital Corp.   2.625%         8/12/51     175     176
Vodafone Group plc   3.750%         1/16/24     190     202
Vodafone Group plc   4.125%         5/30/25     260     285
Vodafone Group plc   5.250%         5/30/48     340     449
Vodafone Group plc   4.125%          6/4/81     170     170
5,8 WPP Finance 2017   3.750%         5/19/32     450     693
                                          15,485
United States (45.4%)
4 7-Eleven Inc.   1.300%         2/10/28     150     143
4 7-Eleven Inc.   1.800%         2/10/31     100      95
4 7-Eleven Inc.   2.500%         2/10/41      50      46
4 7-Eleven Inc.   2.800%         2/10/51     185     173
Abbott Laboratories   4.900%        11/30/46     125     174
AbbVie Inc.   2.600%        11/21/24     135     141
AbbVie Inc.   3.800%         3/15/25      20      22
AbbVie Inc.   4.050%        11/21/39     210     241
AbbVie Inc.   4.875%        11/14/48     260     339
AbbVie Inc.   4.250%        11/21/49     150     181
Adobe Inc.   2.150%          2/1/27     100     103
10 AdventHealth Obligated Group   2.795%        11/15/51     300     300
AEP Transmission Co. LLC   4.250%         9/15/48     200     249
5 AEP Transmission Co. LLC   2.750%         8/15/51     100      99
Aflac Inc.   1.125%         3/15/26      55      54
Agree LP   2.000%         6/15/28      50      49
Agree LP   2.600%         6/15/33      60      59
5 Air Lease Corp.   2.875%         1/15/26     125     129
5 Air Lease Corp.   3.750%          6/1/26     100     107
Air Lease Corp.   3.125%         12/1/30     150     153
Air Products and Chemicals Inc.   2.700%         5/15/40     125     127
Alexandria Real Estate Equities Inc.   3.000%         5/18/51     180     180
Allegheny Technologies Inc.   4.875%         10/1/29      10      10
Allegheny Technologies Inc.   5.125%         10/1/31       5       5
4 Alliant Holdings Intermediate LLC   4.250%        10/15/27       5       5
4 Alliant Holdings Intermediate LLC   6.750%        10/15/27      12      12
4 Allied Universal Holdco LLC   4.625%          6/1/28      11      11
4 Allied Universal Holdco LLC   6.000%          6/1/29       3       3
5 Allina Health System   3.887%         4/15/49     130     154
4 Allison Transmission Inc.   4.750%         10/1/27      34      35
4 Allison Transmission Inc.   3.750%         1/30/31      22      21
Ally Financial Inc.   1.450%         10/2/23     120     121
Altria Group Inc.   4.400%         2/14/26     101     112
Altria Group Inc.   4.800%         2/14/29     160     182
Altria Group Inc.   3.400%          2/4/41     350     327
Altria Group Inc.   5.950%         2/14/49     100     128
Altria Group Inc.   4.450%          5/6/50      40      43
Amazon.com Inc.   2.500%          6/3/50     115     110
Ameren Corp.   2.500%         9/15/24     100     104
Ameren Corp.   3.500%         1/15/31     120     130
Ameren Illinois Co.   1.550%        11/15/30      70      66
Ameren Illinois Co.   4.150%         3/15/46      75      92
Ameren Illinois Co.   2.900%         6/15/51      75      78
14

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
4 American Airlines Inc.   5.500%         4/20/26      25      26
4 American Airlines Inc.   5.750%         4/20/29      60      65
4 American Builders & Contractors Supply Co. Inc.   4.000%         1/15/28      30      31
4 American Builders & Contractors Supply Co. Inc.   3.875%        11/15/29      25      25
American Express Co.   3.000%        10/30/24     375     396
American Homes 4 Rent LP   3.375%         7/15/51     190     195
5 American Honda Finance Corp.   0.650%          9/8/23     350     350
5 American Honda Finance Corp.   1.200%          7/8/25      66      66
5,8 American Honda Finance Corp.   1.500%        10/19/27   1,426   1,935
American International Group Inc.   4.500%         7/16/44     140     171
American International Group Inc.   4.800%         7/10/45      32      41
American International Group Inc.   4.375%         6/30/50     105     131
American Tower Corp.   3.375%        10/15/26     170     182
American Tower Corp.   3.600%         1/15/28     100     108
American Tower Corp.   3.700%        10/15/49      35      38
AmerisourceBergen Corp.   4.300%        12/15/47     200     236
Amgen Inc.   2.200%         2/21/27     125     128
Amgen Inc.   3.150%         2/21/40     155     159
Amgen Inc.   5.150%        11/15/41      61      79
Amgen Inc.   2.770%          9/1/53     147     139
4 Antero Resources Corp.   5.375%          3/1/30      31      33
Anthem Inc.   3.650%         12/1/27     375     411
Anthem Inc.   3.125%         5/15/50     190     196
Aon plc   4.600%         6/14/44      35      43
Aon plc   4.750%         5/15/45      70      90
5 Appalachian Power Co.   4.500%          3/1/49      30      37
Apple Inc.   1.650%          2/8/31     100      97
Apple Inc.   2.375%          2/8/41     175     170
Apple Inc.   3.850%          8/4/46     196     233
Apple Inc.   2.700%          8/5/51     300     299
4 Aramark Services Inc.   6.375%          5/1/25      10      11
4 Arconic Corp.   6.000%         5/15/25       7       7
4 Arconic Corp.   6.125%         2/15/28      15      16
4 Ardagh Packaging Finance plc   5.250%         4/30/25      14      15
4 Ardagh Packaging Finance plc   4.125%         8/15/26      20      20
Asbury Automotive Group Inc.   4.500%          3/1/28      46      47
Asbury Automotive Group Inc.   4.750%          3/1/30      34      35
AT&T Inc.   1.700%         3/25/26     365     367
AT&T Inc.   3.800%         2/15/27     140     153
AT&T Inc.   4.350%          3/1/29     273     310
5 AT&T Inc.   4.300%         2/15/30      56      64
AT&T Inc.   4.500%         5/15/35     130     150
AT&T Inc.   4.900%         8/15/37      55      66
AT&T Inc.   5.150%         2/15/50     100     129
AT&T Inc.   3.650%          6/1/51      50      52
AT&T Inc.   3.500%         9/15/53     295     299
AT&T Inc.   3.550%         9/15/55     313     317
AT&T Inc.   3.800%         12/1/57      96     101
AT&T Inc.   3.650%         9/15/59     130     132
4 Athene Global Funding   0.950%          1/8/24     195     195
5,6 Athene Global Funding   1.125%          9/2/25   2,670   3,172
5,6 Athene Global Funding   0.625%         1/12/28     900   1,027
5,8 Athene Global Funding   1.875%        11/30/28     300     404
15

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
AutoZone Inc.   3.625%         4/15/25     375     403
AutoZone Inc.   1.650%         1/15/31     207     195
4 Avantor Funding Inc.   3.875%         11/1/29      40      40
4 Axalta Coating Systems LLC   4.750%         6/15/27      10      10
Ball Corp.   2.875%         8/15/30       6       6
5 Bank of America Corp.   3.864%         7/23/24     115     121
5 Bank of America Corp.   0.810%        10/24/24     285     285
5 Bank of America Corp.   4.000%         1/22/25      75      81
5 Bank of America Corp.   0.981%         9/25/25     295     293
5 Bank of America Corp.   3.366%         1/23/26     239     254
5 Bank of America Corp.   1.319%         6/19/26     135     134
Bank of America Corp.   1.734%         7/22/27     365     363
5 Bank of America Corp.   3.419%        12/20/28     235     251
5 Bank of America Corp.   3.194%         7/23/30     265     281
5 Bank of America Corp.   2.496%         2/13/31     150     150
5 Bank of America Corp.   1.898%         7/23/31     115     110
5,6 Bank of America Corp.   0.654%        10/26/31     500     561
Bank of America Corp.   2.687%         4/22/32     200     203
Bank of America Corp.   2.299%         7/21/32     400     392
5 Bank of America Corp.   2.676%         6/19/41     170     164
Bank of America Corp.   3.311%         4/22/42      60      63
5 Bank of America Corp.   4.875%          4/1/44      75      98
5 Bank of America Corp.   3.946%         1/23/49      35      41
5 Bank of America Corp.   4.083%         3/20/51     125     151
5 Bank of America Corp.   2.831%        10/24/51      70      69
4 Bausch Health Cos. Inc.   6.125%         4/15/25       5       5
4 Bausch Health Cos. Inc.   5.500%         11/1/25       6       6
4 Bausch Health Cos. Inc.   5.750%         8/15/27      14      15
4 Bausch Health Cos. Inc.   7.000%         1/15/28      40      41
4 Bausch Health Cos. Inc.   4.875%          6/1/28      15      15
4 Bausch Health Cos. Inc.   5.250%         2/15/31      10       9
Becton Dickinson & Co.   3.700%          6/6/27     100     109
Becton Dickinson & Co.   4.685%        12/15/44      40      50
Becton Dickinson & Co.   4.669%          6/6/47      40      51
Berkshire Hathaway Energy Co.   3.700%         7/15/30     130     145
Berkshire Hathaway Energy Co.   2.850%         5/15/51     100      98
Berkshire Hathaway Finance Corp.   4.200%         8/15/48      45      56
4 Berry Global Inc.   4.875%         7/15/26      28      29
4 Berry Global Inc.   5.625%         7/15/27      48      50
4 Big River Steel LLC   6.625%         1/31/29      22      24
4 Blackstone Mortgage Trust Inc.   3.750%         1/15/27      15      15
4,6,10 Blackstone Private Credit Fund   1.750%        11/30/26   1,300   1,488
Block Financial LLC   3.875%         8/15/30      90      96
Boeing Co.   2.800%          3/1/24      30      31
Boeing Co.   4.875%          5/1/25     265     293
Boeing Co.   2.750%          2/1/26     125     129
Boeing Co.   2.250%         6/15/26      10      10
Boeing Co.   5.150%          5/1/30      76      89
Boeing Co.   5.705%          5/1/40     160     206
Boeing Co.   5.805%          5/1/50     245     336
Boeing Co.   5.930%          5/1/60      70      98
BorgWarner Inc.   2.650%          7/1/27     570     593
Boston Scientific Corp.   4.000%          3/1/29      85      96
4 Boyd Gaming Corp.   8.625%          6/1/25      27      29
5 BP Capital Markets America Inc.   3.216%        11/28/23     390     408
16

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
5 BP Capital Markets America Inc.   3.017%         1/16/27     120     127
5 BP Capital Markets America Inc.   3.588%         4/14/27     250     273
BP Capital Markets America Inc.   4.234%         11/6/28      45      51
Bristol-Myers Squibb Co.   3.200%         6/15/26     290     313
Bristol-Myers Squibb Co.   3.900%         2/20/28      50      56
Brixmor Operating Partnership LP   2.250%          4/1/28     100     100
Brixmor Operating Partnership LP   4.050%          7/1/30     275     304
Broadcom Inc.   4.700%         4/15/25     110     121
4 Broadcom Inc.   1.950%         2/15/28      50      49
Broadcom Inc.   5.000%         4/15/30     120     139
4 Broadcom Inc.   3.500%         2/15/41      60      60
4 Broadcom Inc.   3.750%         2/15/51      80      83
Brunswick Corp.   2.400%         8/18/31     100      96
Burlington Northern Santa Fe LLC   5.750%          5/1/40     175     246
Burlington Northern Santa Fe LLC   3.550%         2/15/50     140     161
4 Cable One Inc.   4.000%        11/15/30      32      31
4 Caesars Entertainment Inc.   8.125%          7/1/27      28      31
4 Caesars Resort Collection LLC   5.750%          7/1/25       2       2
4 Calpine Corp.   4.500%         2/15/28       9      10
4 Calpine Corp.   5.125%         3/15/28      25      25
4 Cameron LNG LLC   3.701%         1/15/39     180     199
5 Capital One Bank USA NA   2.280%         1/28/26     300     308
4 Cargo Aircraft Management Inc.   4.750%          2/1/28      20      20
4 Carnival Corp.   5.750%          3/1/27      10      10
4 Carnival Corp.   4.000%          8/1/28      35      35
4,10 Carnival Corp.   6.000%          5/1/29      35      35
Carrier Global Corp.   3.377%          4/5/40     210     219
Cboe Global Markets Inc.   1.625%        12/15/30     260     248
4 CCO Holdings LLC   4.750%          3/1/30      45      47
CDW LLC   4.125%          5/1/25      15      15
4 Cedar Fair LP   5.500%          5/1/25      52      54
Centene Corp.   2.450%         7/15/28     145     145
Centene Corp.   3.000%        10/15/30      13      13
Centene Corp.   2.625%          8/1/31      60      59
5 CenterPoint Energy Houston Electric LLC   2.350%          4/1/31      70      71
5 CenterPoint Energy Houston Electric LLC   3.350%          4/1/51      55      62
CenterPoint Energy Inc.   4.250%         11/1/28      75      85
CenterPoint Energy Inc.   2.950%          3/1/30      10      10
CenterPoint Energy Inc.   2.650%          6/1/31     190     193
Charles Schwab Corp.   0.750%         3/18/24     130     130
5 Charter Communications Operating LLC   4.500%          2/1/24     120     129
Charter Communications Operating LLC   4.200%         3/15/28      70      78
Charter Communications Operating LLC   5.050%         3/30/29      80      93
Charter Communications Operating LLC   3.500%          3/1/42     190     185
Charter Communications Operating LLC   5.375%          5/1/47      30      36
Charter Communications Operating LLC   4.800%          3/1/50     200     227
Charter Communications Operating LLC   3.700%          4/1/51     205     201
4 Chemours Co.   4.625%        11/15/29      25      24
Cheniere Corpus Christi Holdings LLC   5.125%         6/30/27     100     114
Cheniere Energy Inc.   4.625%        10/15/28      25      26
4 Cheniere Energy Partners LP   4.000%          3/1/31      25      26
4 Cheniere Energy Partners LP   3.250%         1/31/32      10      10
Chevron Corp.   2.236%         5/11/30      75      77
4 Chevron Phillips Chemical Co. LLC   3.400%         12/1/26     275     297
Chevron USA Inc.   3.250%        10/15/29      50      55
17

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Chevron USA Inc.   2.343%         8/12/50      70      66
5 Children's Hospital of Philadelphia   2.704%          7/1/50     150     150
4 Churchill Downs Inc.   5.500%          4/1/27      58      60
4 Churchill Downs Inc.   4.750%         1/15/28      41      43
Cigna Corp.   4.800%         8/15/38     255     314
Cigna Corp.   3.400%         3/15/50     100     105
Citigroup Inc.   0.981%          5/1/25     210     209
Citigroup Inc.   3.200%        10/21/26     246     262
Citigroup Inc.   4.300%        11/20/26     150     166
Citigroup Inc.   4.450%         9/29/27     125     140
5 Citigroup Inc.   3.668%         7/24/28     115     124
5 Citigroup Inc.   2.976%         11/5/30     250     260
Citigroup Inc.   2.561%          5/1/32     200     201
Citigroup Inc.   4.650%         7/23/48      95     125
5 City of Hope   4.378%         8/15/48      80     102
4 Civitas Resources Inc.   5.000%        10/15/26      10      10
4 Clarios Global LP   6.750%         5/15/25       5       5
4 Clarios Global LP   8.500%         5/15/27      45      48
4 Clarivate Science Holdings Corp.   3.875%          7/1/28      15      15
4 Clarivate Science Holdings Corp.   4.875%          7/1/29      25      25
4 Clean Harbors Inc.   4.875%         7/15/27      25      26
4 Cleveland-Cliffs Inc.   4.875%          3/1/31      30      31
CMS Energy Corp.   3.450%         8/15/27     260     282
CNH Industrial Capital LLC   1.950%          7/2/23     200     204
4 CNX Resources Corp.   6.000%         1/15/29      25      26
Coca-Cola Co.   1.000%         3/15/28     325     311
Coca-Cola Co.   3.000%          3/5/51      50      53
4 Cogent Communications Group Inc.   3.500%          5/1/26      10      10
4 Coinbase Global Inc.   3.625%         10/1/31      20      19
4 Colgate Energy Partners III LLC   5.875%          7/1/29      20      20
Comcast Corp.   3.150%         2/15/28     225     242
Comcast Corp.   4.150%        10/15/28      70      80
Comcast Corp.   2.650%          2/1/30     275     285
Comcast Corp.   4.400%         8/15/35      90     106
Comcast Corp.   3.250%         11/1/39     145     153
Comcast Corp.   4.500%         1/15/43     140     169
Comcast Corp.   4.700%        10/15/48     134     174
Comcast Corp.   4.950%        10/15/58      65      90
Comcast Corp.   2.650%         8/15/62     100      90
4 Comcast Corp.   2.987%         11/1/63     250     240
Commonwealth Edison Co.   3.800%         10/1/42     115     131
4 CommScope Inc.   6.000%          3/1/26       8       8
4 CommScope Inc.   8.250%          3/1/27      12      12
4 CommScope Inc.   7.125%          7/1/28      26      26
4 CommScope Inc.   4.750%          9/1/29      15      15
4 Comstock Resources Inc.   5.875%         1/15/30      35      36
Conagra Brands Inc.   4.850%         11/1/28     175     204
Connecticut Light & Power Co.   4.000%          4/1/48      80      98
4 ConocoPhillips   3.750%         10/1/27      65      72
4 ConocoPhillips   2.400%         2/15/31      40      40
4 ConocoPhillips   4.875%         10/1/47      30      40
ConocoPhillips Co.   4.950%         3/15/26      90     102
ConocoPhillips Co.   4.300%        11/15/44      65      79
5 Consolidated Edison Co. of New York Inc.   3.950%          4/1/50     100     117
Constellation Brands Inc.   3.200%         2/15/23      25      26
18

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Constellation Brands Inc.   3.750%          5/1/50     150     166
Consumers Energy Co.   2.650%         8/15/52     140     138
Corporate Office Properties LP   2.250%         3/15/26     175     178
Corporate Office Properties LP   2.750%         4/15/31     105     105
4 Coterra Energy Inc.   3.900%         5/15/27      40      44
4 Coterra Energy Inc.   4.375%         3/15/29     130     148
Crown Castle International Corp.   3.700%         6/15/26     266     288
Crown Castle International Corp.   3.800%         2/15/28      68      75
Crown Castle International Corp.   4.750%         5/15/47      65      81
Crown Castle International Corp.   5.200%         2/15/49      85     111
4 CrownRock LP   5.625%        10/15/25      10      10
4 CrownRock LP   5.000%          5/1/29      10      10
4 CSC Holdings LLC   5.375%          2/1/28      40      41
4 CSC Holdings LLC   4.625%         12/1/30      26      24
4 CSC Holdings LLC   4.500%        11/15/31      10      10
CSX Corp.   4.750%        11/15/48     190     251
4 CTR Partnership LP   3.875%         6/30/28      12      12
CVS Health Corp.   4.780%         3/25/38     190     233
CVS Health Corp.   4.125%          4/1/40     210     241
CVS Health Corp.   5.125%         7/20/45      75      98
CVS Health Corp.   5.050%         3/25/48     125     164
CVS Health Corp.   4.250%          4/1/50     100     121
DCP Midstream Operating LP   5.625%         7/15/27       6       7
DCP Midstream Operating LP   5.125%         5/15/29      21      24
Dell International LLC   6.020%         6/15/26      80      94
Dell International LLC   6.100%         7/15/27     120     146
Dell International LLC   5.300%         10/1/29     278     334
Dell International LLC   6.200%         7/15/30     125     159
Dell International LLC   8.100%         7/15/36     300     454
Dell International LLC   8.350%         7/15/46     100     167
Delta Air Lines Inc.   2.900%        10/28/24      12      12
4 Delta Air Lines Inc.   7.000%          5/1/25      40      47
4 Delta Air Lines Inc.   4.500%        10/20/25     165     176
4 Delta Air Lines Inc.   4.750%        10/20/28     746     829
Delta Air Lines Inc.   3.750%        10/28/29      15      15
Devon Energy Corp.   5.850%        12/15/25      40      46
4 Devon Energy Corp.   5.250%        10/15/27      29      31
4 Devon Energy Corp.   5.875%         6/15/28       9      10
4 Devon Energy Corp.   4.500%         1/15/30      81      88
Devon Energy Corp.   5.600%         7/15/41      30      38
DH Europe Finance II Sarl   2.600%        11/15/29     125     130
DH Europe Finance II Sarl   3.400%        11/15/49     125     139
Diamondback Energy Inc.   3.250%         12/1/26     100     106
Diamondback Energy Inc.   4.400%         3/24/51     105     122
Discovery Communications LLC   4.900%         3/11/26     265     299
Discovery Communications LLC   6.350%          6/1/40      50      69
Discovery Communications LLC   4.650%         5/15/50      55      65
Discovery Communications LLC   4.000%         9/15/55     142     151
5 Dominion Energy Inc.   3.300%         3/15/25      70      74
Dominion Energy Inc.   4.250%          6/1/28      65      73
5 Dominion Energy Inc.   4.050%         9/15/42     170     194
Dominion Energy Inc.   4.700%         12/1/44     130     162
Dominion Energy South Carolina Inc.   4.600%         6/15/43      80     100
6 Dow Chemical Co.   1.125%         3/15/32   1,100   1,271
Dow Chemical Co.   4.375%        11/15/42     180     214
19

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
4 DT Midstream Inc.   4.125%         6/15/29      26      26
4 DT Midstream Inc.   4.375%         6/15/31      20      20
DTE Electric Co.   2.250%          3/1/30     145     147
DTE Electric Co.   4.300%          7/1/44     120     147
DTE Electric Co.   3.700%          6/1/46      75      86
DTE Electric Co.   2.950%          3/1/50      55      57
5 DTE Energy Co.   1.050%          6/1/25     165     163
Duke Energy Carolinas LLC   2.450%          2/1/30      20      20
Duke Energy Carolinas LLC   2.550%         4/15/31      45      46
Duke Energy Carolinas LLC   5.300%         2/15/40      20      27
Duke Energy Carolinas LLC   4.250%        12/15/41     125     149
Duke Energy Corp.   3.500%         6/15/51     150     159
Duke Energy Florida LLC   1.750%         6/15/30      50      48
Duke Energy Florida LLC   3.400%         10/1/46      35      38
Duke Energy Indiana LLC   2.750%          4/1/50      75      73
Duke Energy Progress LLC   4.100%         5/15/42     100     117
Duke Energy Progress LLC   2.500%         8/15/50     170     158
DuPont de Nemours Inc.   4.205%        11/15/23     100     107
DuPont de Nemours Inc.   4.493%        11/15/25     100     111
DuPont de Nemours Inc.   5.319%        11/15/38      40      52
DXC Technology Co.   1.800%         9/15/26     400     394
Electronic Arts Inc.   1.850%         2/15/31     110     106
Electronic Arts Inc.   2.950%         2/15/51     135     132
4 Element Solutions Inc.   3.875%          9/1/28      32      32
Eli Lilly & Co.   2.500%         9/15/60     100      94
Enable Midstream Partners LP   3.900%         5/15/24      15      16
Enable Midstream Partners LP   4.950%         5/15/28     120     134
Enable Midstream Partners LP   4.150%         9/15/29     300     324
Enbridge Energy Partners LP   5.500%         9/15/40      50      64
Encompass Health Corp.   4.500%          2/1/28      26      26
4 Endeavor Energy Resources LP   6.625%         7/15/25       4       4
4 Endeavor Energy Resources LP   5.750%         1/30/28      15      16
Energy Transfer LP   4.500%         11/1/23     310     328
Energy Transfer LP   4.250%          4/1/24     150     159
Energy Transfer LP   3.750%         5/15/30     180     192
Energy Transfer LP   6.050%          6/1/41      65      81
Energy Transfer LP   6.500%          2/1/42     100     130
Energy Transfer LP   6.250%         4/15/49      70      93
4 EnLink Midstream LLC   5.625%         1/15/28       7       7
EnLink Midstream LLC   5.375%          6/1/29      15      16
Enstar Group Ltd.   4.950%          6/1/29     140     158
4 Entegris Inc.   3.625%          5/1/29      20      20
Entergy Arkansas LLC   2.650%         6/15/51     100      96
Entergy Corp.   1.900%         6/15/28      95      93
Entergy Corp.   2.800%         6/15/30      90      92
Entergy Corp.   2.400%         6/15/31      35      34
Entergy Louisiana LLC   3.250%          4/1/28     300     323
Entergy Louisiana LLC   2.900%         3/15/51     105     105
Entergy Texas Inc.   4.000%         3/30/29      75      83
Entergy Texas Inc.   3.550%         9/30/49     100     108
Enterprise Products Operating LLC   4.850%         3/15/44     215     260
Enterprise Products Operating LLC   4.900%         5/15/46      30      37
Enterprise Products Operating LLC   4.250%         2/15/48      50      57
Enterprise Products Operating LLC   3.700%         1/31/51      70      74
EOG Resources Inc.   3.900%          4/1/35      20      23
20

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
4 EQM Midstream Partners LP   6.500%          7/1/27      16      18
EQT Corp.   3.000%         10/1/22       4       4
4 EQT Corp.   3.125%         5/15/26       7       7
EQT Corp.   5.000%         1/15/29      25      28
Equitable Holdings Inc.   5.000%         4/20/48      40      51
Essex Portfolio LP   4.500%         3/15/48      60      75
Everest Reinsurance Holdings Inc.   3.500%        10/15/50      96     102
Evergy Inc.   2.900%         9/15/29     375     391
Evergy Kansas Central Inc.   3.250%          9/1/49     150     159
5 Eversource Energy   1.400%         8/15/26     300     296
Exelon Corp.   3.400%         4/15/26      40      43
Exelon Corp.   4.450%         4/15/46     305     377
4 Expedia Group Inc.   6.250%          5/1/25       6       7
Expedia Group Inc.   2.950%         3/15/31     600     605
Exxon Mobil Corp.   2.610%        10/15/30     250     260
6 Exxon Mobil Corp.   1.408%         6/26/39     400     451
Exxon Mobil Corp.   4.227%         3/19/40     155     185
Exxon Mobil Corp.   4.114%          3/1/46      55      66
Federal Realty Investment Trust   3.950%         1/15/24     375     397
FedEx Corp.   3.250%         5/15/41     160     163
FedEx Corp.   3.875%          8/1/42      30      33
FedEx Corp.   5.250%         5/15/50      75     101
Fidelity National Financial Inc.   3.200%         9/17/51     355     346
4 First Student Bidco Inc.   4.000%         7/31/29      25      25
5 FirstEnergy Corp.   4.400%         7/15/27      25      27
FirstEnergy Corp.   2.650%          3/1/30     110     109
5 FirstEnergy Corp.   3.400%          3/1/50      10      10
Florida Power & Light Co.   3.800%        12/15/42     150     176
Florida Power & Light Co.   3.150%         10/1/49      45      49
FMC Corp.   4.500%         10/1/49      30      36
4 Foot Locker Inc.   4.000%         10/1/29      21      21
Ford Motor Credit Co. LLC   3.087%          1/9/23      13      13
Ford Motor Credit Co. LLC   5.125%         6/16/25      10      11
Ford Motor Credit Co. LLC   4.134%          8/4/25       5       5
Ford Motor Credit Co. LLC   3.375%        11/13/25      30      31
Ford Motor Credit Co. LLC   2.700%         8/10/26      20      20
Ford Motor Credit Co. LLC   4.271%          1/9/27      10      11
Ford Motor Credit Co. LLC   3.815%         11/2/27      42      44
Ford Motor Credit Co. LLC   2.900%         2/16/28      20      20
Fox Corp.   4.030%         1/25/24     200     213
Fox Corp.   3.050%          4/7/25      20      21
Fox Corp.   5.476%         1/25/39     220     284
Freeport-McMoRan Inc.   4.125%          3/1/28      62      64
Freeport-McMoRan Inc.   4.375%          8/1/28      30      31
Freeport-McMoRan Inc.   4.250%          3/1/30      10      11
Freeport-McMoRan Inc.   4.625%          8/1/30      30      32
Freeport-McMoRan Inc.   5.450%         3/15/43      10      13
4 Frontier Communications Holdings LLC   5.875%        10/15/27       7       7
4 Frontier Communications Holdings LLC   5.000%          5/1/28      31      32
4 Frontier Communications Holdings LLC   6.000%         1/15/30      30      30
FS KKR Capital Corp.   3.400%         1/15/26     220     226
GE Capital Funding LLC   3.450%         5/15/25     225     241
GE Capital Funding LLC   4.400%         5/15/30     775     907
GE Capital International Funding Co. Unlimited Co.   4.418%        11/15/35     350     426
21

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
General Dynamics Corp.   3.250%          4/1/25      40      43
General Dynamics Corp.   3.750%         5/15/28     280     313
General Dynamics Corp.   4.250%          4/1/40      95     116
General Electric Co.   3.450%          5/1/27     205     223
General Electric Co.   3.625%          5/1/30      53      59
5 General Electric Co.   6.750%         3/15/32     113     156
General Electric Co.   4.250%          5/1/40      60      72
General Electric Co.   4.350%          5/1/50     100     127
4 General Mills Inc.   3.000%          2/1/51     225     230
General Motors Co.   5.400%         10/2/23     146     158
General Motors Co.   6.125%         10/1/25     150     174
General Motors Co.   5.200%          4/1/45     175     218
General Motors Financial Co. Inc.   3.150%         6/30/22     150     152
General Motors Financial Co. Inc.   3.500%         11/7/24     400     424
General Motors Financial Co. Inc.   2.750%         6/20/25     135     140
General Motors Financial Co. Inc.   1.250%          1/8/26     200     196
4 Georgia-Pacific LLC   1.750%         9/30/25     245     248
Gilead Sciences Inc.   0.750%         9/29/23     340     340
Gilead Sciences Inc.   4.150%          3/1/47      50      59
5 Goldman Sachs Group Inc.   2.905%         7/24/23     800     813
Goldman Sachs Group Inc.   3.750%         5/22/25     624     670
5,8 Goldman Sachs Group Inc.   1.000%        12/16/25   2,350   3,153
Goldman Sachs Group Inc.   1.431%          3/9/27     265     261
5 Goldman Sachs Group Inc.   4.223%          5/1/29     135     151
Goldman Sachs Group Inc.   1.992%         1/27/32     320     306
Goldman Sachs Group Inc.   2.615%         4/22/32     100     100
Goldman Sachs Group Inc.   2.650%        10/21/32     150     151
5,6 Goldman Sachs Group Inc.   1.000%         3/18/33     500     566
5 Goldman Sachs Group Inc.   4.411%         4/23/39      85     102
Goldman Sachs Group Inc.   3.210%         4/22/42     100     104
5,7,9 Goldman Sachs Group Inc., 3M Australian Bank Bill Rate + 1.550%   1.569%          5/2/24     300     231
4 Graphic Packaging International LLC   3.500%         3/15/28       5       5
4 Graphic Packaging International LLC   3.500%          3/1/29       7       7
4,10 Gray Escrow II Inc.   5.375%        11/15/31      10      10
4 Group 1 Automotive Inc.   4.000%         8/15/28      15      15
4 H&E Equipment Services Inc.   3.875%        12/15/28      10      10
4 HAT Holdings I LLC   3.375%         6/15/26      15      15
HCA Inc.   5.375%          2/1/25      45      50
HCA Inc.   4.125%         6/15/29     130     144
HCA Inc.   5.250%         6/15/49     105     136
4 Helmerich & Payne Inc.   2.900%         9/29/31     130     129
4 Hilcorp Energy I LP   5.750%          2/1/29       5       5
4 Hilcorp Energy I LP   6.000%          2/1/31       6       6
4 Hill-Rom Holdings Inc.   4.375%         9/15/27      45      47
4 Hilton Domestic Operating Co. Inc.   5.375%          5/1/25      72      75
4 Hilton Domestic Operating Co. Inc.   5.750%          5/1/28      10      11
Home Depot Inc.   2.950%         6/15/29     100     107
Home Depot Inc.   1.375%         3/15/31     150     141
Home Depot Inc.   4.250%          4/1/46      30      38
Home Depot Inc.   3.900%         6/15/47     125     150
Home Depot Inc.   4.500%         12/6/48      75      98
Home Depot Inc.   2.750%         9/15/51     200     201
Honeywell International Inc.   1.350%          6/1/25     445     449
Honeywell International Inc.   1.100%          3/1/27     500     491
22

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Hormel Foods Corp.   0.650%          6/3/24     100     100
Hormel Foods Corp.   1.700%          6/3/28     100      99
4 HP Inc.   2.650%         6/17/31      86      85
4 Huntington Ingalls Industries Inc.   2.043%         8/16/28     200     196
4 Ingevity Corp.   3.875%         11/1/28      15      15
Intel Corp.   3.050%         8/12/51     300     306
Intercontinental Exchange Inc.   0.700%         6/15/23      60      60
Intercontinental Exchange Inc.   2.650%         9/15/40     110     106
Intercontinental Exchange Inc.   3.000%         9/15/60      70      68
International Business Machines Corp.   3.300%         5/15/26     160     173
4 International Game Technology plc   4.125%         4/15/26       5       5
4 International Game Technology plc   6.250%         1/15/27       3       3
International Paper Co.   4.800%         6/15/44      60      76
International Paper Co.   4.350%         8/15/48      22      27
Interpublic Group of Cos. Inc.   4.650%         10/1/28     100     116
Interpublic Group of Cos. Inc.   5.400%         10/1/48      25      35
Invesco Finance plc   5.375%        11/30/43      55      73
Johnson & Johnson   2.450%          9/1/60     100      96
5 Johnson Controls International plc   5.125%         9/14/45      28      37
5 JPMorgan Chase & Co.   4.023%         12/5/24     530     563
JPMorgan Chase & Co.   1.578%         4/22/27     250     248
5 JPMorgan Chase & Co.   3.540%          5/1/28     399     431
5 JPMorgan Chase & Co.   3.509%         1/23/29      30      32
5 JPMorgan Chase & Co.   4.005%         4/23/29     212     235
JPMorgan Chase & Co.   2.580%         4/22/32     300     302
5 JPMorgan Chase & Co.   3.882%         7/24/38     195     222
JPMorgan Chase & Co.   2.525%        11/19/41     190     181
5 JPMorgan Chase & Co.   3.964%        11/15/48      70      82
5 JPMorgan Chase & Co.   3.109%         4/22/51     105     109
JPMorgan Chase & Co.   3.328%         4/22/52     200     216
Kaiser Foundation Hospitals   3.150%          5/1/27     347     372
Kellogg Co.   4.500%          4/1/46     115     144
Keurig Dr Pepper Inc.   5.085%         5/25/48      50      66
Keurig Dr Pepper Inc.   3.350%         3/15/51     150     158
Kimco Realty Corp.   3.300%          2/1/25      30      32
Kimco Realty Corp.   4.250%          4/1/45     150     176
Kinder Morgan Energy Partners LP   5.800%         3/15/35     160     203
Kinder Morgan Inc.   5.300%         12/1/34     225     274
Kinder Morgan Inc.   5.550%          6/1/45      25      32
Kraft Heinz Foods Co.   3.875%         5/15/27     196     213
Kraft Heinz Foods Co.   3.750%          4/1/30      80      87
Kraft Heinz Foods Co.   4.250%          3/1/31      35      39
Kraft Heinz Foods Co.   4.875%         10/1/49      27      33
4 Kraton Polymers LLC   4.250%        12/15/25      11      11
Kroger Co.   2.200%          5/1/30     100     100
Kroger Co.   3.875%        10/15/46     125     141
Kroger Co.   4.450%          2/1/47     200     244
5 L3Harris Technologies Inc.   4.400%         6/15/28     210     239
L3Harris Technologies Inc.   5.054%         4/27/45      30      40
4 Ladder Capital Finance Holdings LLLP   5.250%         10/1/25       5       5
4 Ladder Capital Finance Holdings LLLP   4.750%         6/15/29      27      27
4 Lamb Weston Holdings Inc.   4.625%         11/1/24      10      10
4 Lamb Weston Holdings Inc.   4.875%         11/1/26      31      32
4 Lamb Weston Holdings Inc.   4.875%         5/15/28      31      33
Lennar Corp.   5.250%          6/1/26     340     387
23

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Lennar Corp.   4.750%        11/29/27      50      57
4 Level 3 Financing Inc.   4.625%         9/15/27      42      43
4 Level 3 Financing Inc.   3.625%         1/15/29      20      19
4 Lithia Motors Inc.   4.625%        12/15/27      15      16
4 Lithia Motors Inc.   3.875%          6/1/29      30      31
4 Lithia Motors Inc.   4.375%         1/15/31      21      22
4 Live Nation Entertainment Inc.   5.625%         3/15/26       3       3
4 Live Nation Entertainment Inc.   6.500%         5/15/27      31      34
4 Live Nation Entertainment Inc.   3.750%         1/15/28       9       9
Lockheed Martin Corp.   3.800%          3/1/45     165     194
Lockheed Martin Corp.   4.700%         5/15/46      40      53
Lowe's Cos. Inc.   3.100%          5/3/27     305     326
Lowe's Cos. Inc.   1.300%         4/15/28     100      96
Lowe's Cos. Inc.   1.700%         9/15/28      90      88
Lowe's Cos. Inc.   4.050%          5/3/47      55      64
LYB International Finance III LLC   3.375%          5/1/30     150     162
LYB International Finance III LLC   3.375%         10/1/40      50      52
Marathon Oil Corp.   5.200%          6/1/45      20      25
Marathon Petroleum Corp.   4.750%        12/15/23     195     210
Marathon Petroleum Corp.   3.800%          4/1/28     100     109
Marathon Petroleum Corp.   4.750%         9/15/44      40      47
Marathon Petroleum Corp.   5.000%         9/15/54      55      68
5 Marriott International Inc.   4.625%         6/15/30     300     342
Mastercard Inc.   2.950%         3/15/51     150     159
5 McDonald's Corp.   3.625%          9/1/49      75      84
5 McDonald's Corp.   4.200%          4/1/50     125     153
9,10,12,13 Medline Borrower LP Bank Loan, 12M USD LIBOR + 3.250%       —%        10/23/28      20      20
4 Meritage Homes Corp.   3.875%         4/15/29      60      62
MetLife Inc.   4.125%         8/13/42      75      89
MGM Growth Properties Operating Partnership LP   5.625%          5/1/24       8       9
4 MGM Growth Properties Operating Partnership LP   4.625%         6/15/25      35      38
MGM Growth Properties Operating Partnership LP   4.500%          9/1/26      27      29
Microsoft Corp.   2.525%          6/1/50     130     128
4 Midcap Financial Issuer Trust   5.625%         1/15/30      17      17
4 Mileage Plus Holdings LLC   6.500%         6/20/27     337     367
Mondelez International Inc.   1.500%          2/4/31     200     187
5 Morgan Stanley   3.125%         1/23/23     283     292
5 Morgan Stanley   2.720%         7/22/25     480     498
5 Morgan Stanley   2.188%         4/28/26     170     174
Morgan Stanley   1.593%          5/4/27     195     193
5 Morgan Stanley   3.591%         7/22/28     275     298
5 Morgan Stanley   2.699%         1/22/31     135     138
5 Morgan Stanley   1.794%         2/13/32     160     151
5 Morgan Stanley   3.971%         7/22/38      90     103
5 Morgan Stanley   4.457%         4/22/39      75      91
Morgan Stanley   3.217%         4/22/42     135     142
Morgan Stanley   4.300%         1/27/45      30      37
5 Morgan Stanley   2.802%         1/25/52      90      89
Mosaic Co.   4.875%        11/15/41      30      36
5 Mount Sinai Hospitals Group Inc.   3.737%          7/1/49     200     222
MPLX LP   1.750%          3/1/26     225     224
MPLX LP   4.500%         4/15/38     120     135
24

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
4 MSCI Inc.   3.625%          9/1/30      15      15
4 MSCI Inc.   3.625%         11/1/31      25      26
4 MSCI Inc.   3.250%         8/15/33      12      12
4 Mueller Water Products Inc.   4.000%         6/15/29       5       5
6 Mylan Inc.   2.125%         5/23/25   1,820   2,227
Mylan Inc.   5.200%         4/15/48      75      93
Nasdaq Inc.   2.500%        12/21/40     100      93
National Rural Utilities Cooperative Finance Corp.   3.050%         4/25/27     200     214
National Rural Utilities Cooperative Finance Corp.   3.700%         3/15/29      25      28
4 Nationwide Financial Services Inc.   3.900%        11/30/49      65      76
4 Nationwide Mutual Insurance Co.   4.350%         4/30/50     125     146
4 NCL Corp. Ltd.   5.875%         3/15/26      36      36
4 Nestle Holdings Inc.   1.000%         9/15/27     325     313
4 Nestle Holdings Inc.   4.000%         9/24/48     150     188
4 Netflix Inc.   3.625%         6/15/25      40      43
Netflix Inc.   4.875%         4/15/28      85      97
Netflix Inc.   5.875%        11/15/28      40      49
Newmont Corp.   2.800%         10/1/29     130     134
Newmont Corp.   2.250%         10/1/30      60      59
4 News Corp.   3.875%         5/15/29      23      23
4 Nexstar Media Inc.   5.625%         7/15/27       5       5
4 Nexstar Media Inc.   4.750%         11/1/28      22      22
NextEra Energy Capital Holdings Inc.   2.750%          5/1/25     300     315
NextEra Energy Capital Holdings Inc.   3.250%          4/1/26      55      59
NextEra Energy Capital Holdings Inc.   2.250%          6/1/30     120     120
4 NextEra Energy Operating Partners LP   4.500%         9/15/27      65      70
4 Nielsen Finance LLC   5.625%         10/1/28      27      28
4 Nissan Motor Acceptance Co. LLC   2.450%         9/15/28      55      54
Norfolk Southern Corp.   3.050%         5/15/50     100     103
Northern States Power Co.   6.250%          6/1/36     144     206
Northrop Grumman Corp.   4.030%        10/15/47     150     180
Northrop Grumman Corp.   5.250%          5/1/50     125     178
NRG Energy Inc.   6.625%         1/15/27       4       4
4 NRG Energy Inc.   2.450%         12/2/27     117     117
Nucor Corp.   2.000%          6/1/25      45      46
Nucor Corp.   2.700%          6/1/30     110     113
NuStar Logistics LP   5.750%         10/1/25       5       5
NuStar Logistics LP   6.375%         10/1/30      20      22
Occidental Petroleum Corp.   5.550%         3/15/26      16      18
Occidental Petroleum Corp.   3.400%         4/15/26       5       5
Occidental Petroleum Corp.   3.200%         8/15/26      42      43
Occidental Petroleum Corp.   3.000%         2/15/27      15      15
Occidental Petroleum Corp.   4.400%         8/15/49      20      20
Omega Healthcare Investors Inc.   5.250%         1/15/26     708     795
Omega Healthcare Investors Inc.   3.375%          2/1/31     330     335
Oncor Electric Delivery Co. LLC   2.950%          4/1/25     230     243
Oncor Electric Delivery Co. LLC   3.800%         9/30/47     120     142
OneMain Finance Corp.   3.875%         9/15/28      20      20
ONEOK Inc.   5.850%         1/15/26     100     116
ONEOK Inc.   3.400%          9/1/29      90      95
ONEOK Inc.   4.950%         7/13/47      50      59
ONEOK Inc.   5.200%         7/15/48      30      37
4 Option Care Health Inc.   4.375%        10/31/29      15      15
25

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Oracle Corp.   2.500%          4/1/25     520     539
Oracle Corp.   2.300%         3/25/28     200     202
Oracle Corp.   2.950%          4/1/30      40      41
Oracle Corp.   2.875%         3/25/31     230     236
Oracle Corp.   3.600%          4/1/40     175     182
Oracle Corp.   3.650%         3/25/41     150     157
Oracle Corp.   3.950%         3/25/51     115     124
Oracle Corp.   4.375%         5/15/55      25      29
4 Organon & Co.   4.125%         4/30/28      30      30
4 Organon & Co.   5.125%         4/30/31      20      21
Ovintiv Exploration Inc.   5.375%          1/1/26      40      44
Pacific Gas & Electric Co.   3.150%          1/1/26     150     154
Pacific Gas & Electric Co.   3.000%         6/15/28     100     101
Pacific Gas & Electric Co.   2.500%          2/1/31     140     134
Pacific Gas & Electric Co.   4.500%          7/1/40     100     104
Pacific Gas & Electric Co.   3.500%          8/1/50     100      95
PacifiCorp   4.150%         2/15/50     200     242
Packaging Corp. of America   3.400%        12/15/27      20      22
Packaging Corp. of America   4.050%        12/15/49      50      59
4 Pactiv Evergreen Group Issuer Inc.   4.000%        10/15/27      20      20
4 Pattern Energy Operations LP   4.500%         8/15/28      14      14
PECO Energy Co.   4.150%         10/1/44     130     157
4 Penn National Gaming Inc.   5.625%         1/15/27       5       5
PepsiCo Inc.   3.450%         10/6/46      75      86
4 Performance Food Group Inc.   6.875%          5/1/25      10      11
4 Performance Food Group Inc.   5.500%        10/15/27      49      51
4 Performance Food Group Inc.   4.250%          8/1/29      30      30
Pfizer Inc.   2.550%         5/28/40     225     224
PG&E Corp.   5.250%          7/1/30      25      26
6 Philip Morris International Inc.   2.000%          5/9/36     550     657
Philip Morris International Inc.   4.250%        11/10/44     165     190
Phillips 66   3.900%         3/15/28      50      55
Phillips 66   4.650%        11/15/34      80      94
Phillips 66 Partners LP   3.150%        12/15/29     207     216
4 Pilgrim's Pride Corp.   3.500%          3/1/32      15      15
Pioneer Natural Resources Co.   1.900%         8/15/30     150     143
Plains All American Pipeline LP   4.900%         2/15/45      30      33
4 Post Holdings Inc.   5.750%          3/1/27      10      10
4 Post Holdings Inc.   5.625%         1/15/28      10      10
PPG Industries Inc.   1.200%         3/15/26     125     123
Prudential Financial Inc.   3.935%         12/7/49     260     310
5 Prudential Financial Inc.   4.350%         2/25/50      65      83
5 Public Service Co. of Colorado   6.250%          9/1/37      60      89
5 Public Service Electric & Gas Co.   3.600%         12/1/47     100     115
5 Public Service Electric & Gas Co.   3.200%          8/1/49      60      65
PulteGroup Inc.   5.500%          3/1/26      45      52
PulteGroup Inc.   5.000%         1/15/27      15      17
Ralph Lauren Corp.   2.950%         6/15/30     200     209
Raytheon Technologies Corp.   3.200%         3/15/24     130     137
Raytheon Technologies Corp.   3.950%         8/16/25      15      16
Raytheon Technologies Corp.   4.125%        11/16/28     236     267
Raytheon Technologies Corp.   4.625%        11/16/48     160     208
4 Realogy Group LLC   7.625%         6/15/25       5       5
Republic Services Inc.   1.750%         2/15/32      58      55
4 Rocket Mortgage LLC   4.000%        10/15/33      10      10
26

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Rockwell Automation Inc.   2.800%         8/15/61     100      99
4 Roller Bearing Co. of America Inc.   4.375%        10/15/29      10      10
4 Royal Caribbean Cruises Ltd.  10.875%          6/1/23       3       3
4 Royal Caribbean Cruises Ltd.   9.125%         6/15/23       2       2
4 Royal Caribbean Cruises Ltd.  11.500%          6/1/25       3       3
RPM International Inc.   3.750%         3/15/27     110     120
RPM International Inc.   4.550%          3/1/29     115     131
Sabine Pass Liquefaction LLC   5.875%         6/30/26     110     128
Sabine Pass Liquefaction LLC   4.200%         3/15/28     210     233
Sabine Pass Liquefaction LLC   4.500%         5/15/30     100     114
Sabra Health Care LP   5.125%         8/15/26     610     677
4 Sabre GLBL Inc.   9.250%         4/15/25      15      17
4 Sabre GLBL Inc.   7.375%          9/1/25      11      12
salesforce.com Inc.   2.700%         7/15/41     400     401
Santander Holdings USA Inc.   4.400%         7/13/27     250     278
4 SBA Communications Corp.   3.125%          2/1/29      32      31
Schlumberger Finance Canada Ltd.   1.400%         9/17/25      35      35
4 Seagate HDD Cayman   3.125%         7/15/29      10      10
Sempra Energy   3.250%         6/15/27     170     181
Sempra Energy   4.000%          2/1/48      25      28
Sherwin-Williams Co.   4.500%          6/1/47      80     100
6 Simon International Finance SCA   1.125%         3/19/33   1,000   1,139
Simon Property Group LP   3.500%          9/1/25     270     291
Simon Property Group LP   2.200%          2/1/31     200     196
Simon Property Group LP   3.250%         9/13/49     135     140
4 Sirius XM Radio Inc.   3.125%          9/1/26       5       5
4 Sirius XM Radio Inc.   5.000%          8/1/27      10      10
4 Sirius XM Radio Inc.   3.875%          9/1/31      10      10
Skyworks Solutions Inc.   1.800%          6/1/26      60      60
Skyworks Solutions Inc.   3.000%          6/1/31     230     232
5 Southern California Edison Co.   4.200%          3/1/29     125     140
Southern California Edison Co.   4.500%          9/1/40      50      57
Southern California Edison Co.   4.000%          4/1/47      70      78
5 Southern California Edison Co.   4.875%          3/1/49      20      25
5 Southern Co.   3.700%         4/30/30      30      33
Southern Co.   4.400%          7/1/46      30      36
Southwest Airlines Co.   5.250%          5/4/25      70      78
Southwest Airlines Co.   5.125%         6/15/27      80      92
Southwest Airlines Co.   2.625%         2/10/30     250     253
Spectra Energy Partners LP   4.500%         3/15/45      90     107
Sprint Capital Corp.   6.875%        11/15/28      45      57
Sprint Corp.   7.125%         6/15/24      50      56
Sprint Corp.   7.625%          3/1/26      40      48
4 Square Inc.   2.750%          6/1/26      10      10
4 SS&C Technologies Inc.   5.500%         9/30/27      19      20
Stanley Black & Decker Inc.   2.300%         3/15/30     125     128
Starbucks Corp.   3.500%          3/1/28      25      27
Starbucks Corp.   3.500%        11/15/50     125     135
State Street Corp.   2.825%         3/30/23      30      30
Steel Dynamics Inc.   2.400%         6/15/25      35      36
Steel Dynamics Inc.   3.450%         4/15/30     100     107
SVB Financial Group   2.100%         5/15/28     230     230
Synchrony Financial   3.950%         12/1/27     460     501
Sysco Corp.   5.650%          4/1/25     131     149
4 Tap Rock Resources LLC   7.000%         10/1/26      20      21
27

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Targa Resources Partners LP   6.500%         7/15/27      50      54
4 Tenet Healthcare Corp.   4.625%          9/1/24       5       5
4 Tenet Healthcare Corp.   7.500%          4/1/25       5       5
4 Tenet Healthcare Corp.   4.875%          1/1/26      40      41
4 Tenet Healthcare Corp.   6.250%          2/1/27      10      10
4 Tenet Healthcare Corp.   4.250%          6/1/29      28      28
6 Thermo Fisher Scientific Finance I BV   1.625%        10/18/41     400     474
Thermo Fisher Scientific Inc.   1.750%        10/15/28      50      49
Thermo Fisher Scientific Inc.   2.000%        10/15/31     100      98
Thermo Fisher Scientific Inc.   2.800%        10/15/41     100     101
4 Thor Industries Inc.   4.000%        10/15/29      15      15
Time Warner Cable LLC   5.875%        11/15/40      90     113
Time Warner Cable LLC   4.500%         9/15/42      55      60
TJX Cos. Inc.   2.250%         9/15/26     200     208
T-Mobile USA Inc.   3.750%         4/15/27     100     109
4 T-Mobile USA Inc.   3.375%         4/15/29      15      15
T-Mobile USA Inc.   3.875%         4/15/30     170     186
T-Mobile USA Inc.   3.000%         2/15/41     195     188
T-Mobile USA Inc.   3.600%        11/15/60     175     175
Toll Brothers Finance Corp.   4.350%         2/15/28     227     248
Toll Brothers Finance Corp.   3.800%         11/1/29     130     139
5 Toyota Motor Credit Corp.   1.800%         2/13/25     400     408
Transcontinental Gas Pipe Line Co. LLC   4.000%         3/15/28       5       6
Transcontinental Gas Pipe Line Co. LLC   3.250%         5/15/30      90      95
Transcontinental Gas Pipe Line Co. LLC   4.600%         3/15/48      40      49
4 TransDigm Inc.   8.000%        12/15/25      10      11
4 TransDigm Inc.   6.250%         3/15/26      49      51
TransDigm Inc.   5.500%        11/15/27      37      38
TransDigm Inc.   4.875%          5/1/29      35      35
Tri Pointe Homes Inc.   5.700%         6/15/28      10      11
TWDC Enterprises 18 Corp.   3.000%         2/13/26     165     176
4 Twitter Inc.   3.875%        12/15/27      10      11
Tyson Foods Inc.   5.100%         9/28/48      80     108
5 UDR Inc.   2.950%          9/1/26      15      16
4 Unifrax Escrow Issuer Corp.   5.250%         9/30/28      15      15
Union Electric Co.   4.000%          4/1/48      65      78
Union Electric Co.   3.250%         10/1/49      75      82
Union Pacific Corp.   3.950%         9/10/28     150     169
Union Pacific Corp.   3.250%          2/5/50     107     116
Union Pacific Corp.   3.839%         3/20/60      35      41
4 United Airlines Inc.   4.375%         4/15/26      42      43
4 United Airlines Inc.   4.625%         4/15/29      35      36
United States Steel Corp.   6.875%          3/1/29      30      32
UnitedHealth Group Inc.   2.375%         8/15/24     280     291
UnitedHealth Group Inc.   2.750%         5/15/40     100     100
UnitedHealth Group Inc.   4.375%         3/15/42     215     264
UnitedHealth Group Inc.   3.250%         5/15/51     100     108
4 Uniti Group LP   7.875%         2/15/25      12      13
4 Uniti Group LP   4.750%         4/15/28      15      15
4 Uniti Group LP   6.500%         2/15/29      21      21
6 Upjohn Finance BV   1.908%         6/23/32     600     719
US Bancorp   1.450%         5/12/25     235     237
4 Vail Resorts Inc.   6.250%         5/15/25      46      48
Valero Energy Corp.   4.350%          6/1/28      70      78
Valero Energy Corp.   4.900%         3/15/45      30      37
28

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
4 Venture Global Calcasieu Pass LLC   3.875%         8/15/29      20      20
VEREIT Operating Partnership LP   3.400%         1/15/28      10      11
VEREIT Operating Partnership LP   2.200%         6/15/28     160     161
Verizon Communications Inc.   3.000%         3/22/27     200     212
Verizon Communications Inc.   2.100%         3/22/28     250     251
Verizon Communications Inc.   4.016%         12/3/29     165     185
Verizon Communications Inc.   2.550%         3/21/31      65      66
Verizon Communications Inc.   4.400%         11/1/34     140     163
Verizon Communications Inc.   4.812%         3/15/39     150     186
Verizon Communications Inc.   2.650%        11/20/40      75      71
Verizon Communications Inc.   3.850%         11/1/42      70      78
Verizon Communications Inc.   4.862%         8/21/46     140     184
Verizon Communications Inc.   4.000%         3/22/50      80      92
Verizon Communications Inc.   3.550%         3/22/51     240     259
Verizon Communications Inc.   4.672%         3/15/55      55      73
Verizon Communications Inc.   3.000%        11/20/60      70      66
Verizon Communications Inc.   3.700%         3/22/61     105     114
4 Vertiv Group Corp.   4.125%        11/15/28      10      10
ViacomCBS Inc.   4.750%         5/15/25     360     399
ViacomCBS Inc.   4.200%          6/1/29      60      68
ViacomCBS Inc.   4.375%         3/15/43     275     314
4 Viatris Inc.   2.700%         6/22/30     335     335
4 Viatris Inc.   3.850%         6/22/40     250     268
4 Viatris Inc.   4.000%         6/22/50     100     108
5 Virginia Electric & Power Co.   3.150%         1/15/26      75      80
5 Virginia Electric & Power Co.   2.950%        11/15/26     240     255
5 Virginia Electric & Power Co.   2.875%         7/15/29     165     174
5 Virginia Electric & Power Co.   4.200%         5/15/45      50      61
4 Vistra Operations Co. LLC   5.625%         2/15/27      20      21
4 Vistra Operations Co. LLC   5.000%         7/31/27       8       8
4 Vistra Operations Co. LLC   4.375%          5/1/29      23      23
VMware Inc.   3.900%         8/21/27     360     395
VMware Inc.   1.800%         8/15/28     190     185
VMware Inc.   4.700%         5/15/30     130     152
4 Wabash National Corp.   4.500%        10/15/28      15      15
Walmart Inc.   1.500%         9/22/28      90      89
Walmart Inc.   1.800%         9/22/31     100      99
Walmart Inc.   2.650%         9/22/51     100     103
Walt Disney Co.   1.750%         8/30/24      83      85
Walt Disney Co.   3.700%         3/23/27      70      77
Walt Disney Co.   6.650%        11/15/37      70     105
Walt Disney Co.   3.500%         5/13/40     125     138
Walt Disney Co.   2.750%          9/1/49      45      44
Walt Disney Co.   3.600%         1/13/51      45      51
Waste Management Inc.   1.150%         3/15/28     100      95
5 Wells Fargo & Co.   2.164%         2/11/26     450     461
5 Wells Fargo & Co.   2.188%         4/30/26     475     486
5 Wells Fargo & Co.   4.300%         7/22/27     375     419
5 Wells Fargo & Co.   2.879%        10/30/30     270     280
5 Wells Fargo & Co.   3.068%         4/30/41     320     327
5 Wells Fargo & Co.   4.650%         11/4/44      75      93
5 Wells Fargo & Co.   4.400%         6/14/46      60      73
5 Wells Fargo & Co.   5.013%          4/4/51      80     111
5,8 Wells Fargo Bank NA   5.250%          8/1/23   2,000   2,913
Welltower Inc.   4.250%          4/1/26      50      55
29

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
4 WESCO Distribution Inc.   7.250%         6/15/28      31      34
Western Digital Corp.   4.750%         2/15/26      44      48
Western Midstream Operating LP   5.300%          2/1/30      30      33
Westlake Chemical Corp.   3.125%         8/15/51     150     145
Weyerhaeuser Co.   4.000%        11/15/29     131     147
4 William Carter Co.   5.500%         5/15/25      28      29
Williams Cos. Inc.   6.300%         4/15/40      65      89
4 Williams Scotsman International Inc.   4.625%         8/15/28       9       9
Willis North America Inc.   4.500%         9/15/28     155     176
Willis North America Inc.   2.950%         9/15/29      85      88
Willis North America Inc.   3.875%         9/15/49      70      78
4 Wyndham Hotels & Resorts Inc.   4.375%         8/15/28      30      31
Xcel Energy Inc.   3.300%          6/1/25     275     292
10 Xcel Energy Inc.   2.350%        11/15/31     160     160
Xcel Energy Inc.   3.500%         12/1/49     150     164
4 Zayo Group Holdings Inc.   4.000%          3/1/27      22      21
4 Zayo Group Holdings Inc.   6.125%          3/1/28      43      42
Zimmer Biomet Holdings Inc.   3.550%          4/1/25     260     277
Zoetis Inc.   3.000%         5/15/50     190     199
                                         126,770
Total Corporate Bonds (Cost $210,466) 211,767
Sovereign Bonds (11.5%)
Azerbaijan (0.2%)
5 Republic of Azerbaijan   4.750%         3/18/24     600     644
Brazil (0.1%)
5 Federative Republic of Brazil   4.750%         1/14/50     450     385
Canada (1.1%)
11 Canadian Government Bond   1.000%          9/1/22   1,400   1,134
11 Canadian Government Bond   4.000%          6/1/41     385     416
11 Canadian Government Bond   2.750%         12/1/48     300     281
4,5 Ontario Teachers' Cadillac Fairview Properties Trust   3.875%         3/20/27     800     879
4,5 Ontario Teachers' Cadillac Fairview Properties Trust   4.125%          2/1/29     350     393
                                           3,103
Chile (0.7%)
5 Republic of Chile   3.240%          2/6/28   1,825   1,924
Colombia (0.5%)
Ecopetrol SA   5.875%         9/18/23     525     564
5 Republic of Colombia   5.200%         5/15/49     300     302
5 Republic of Colombia   3.875%         2/15/61     808     662
                                           1,528
Ecuador (0.2%)
5 Republic of Ecuador   0.000%         7/31/30     600     322
4,5 Republic of Ecuador   0.000%         7/31/30     650     348
                                             670
El Salvador (0.1%)
5 Republic of El Salvador   8.625%         2/28/29     300     240
5 Republic of El Salvador   9.500%         7/15/52     200     165
                                             405
30

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
Germany (1.3%)
5,6 Federal Republic of Germany   0.000%        10/10/25   2,000   2,354
6 Federal Republic of Germany   0.500%         2/15/28   1,000   1,216
                                           3,570
Guatemala (0.2%)
5 Republic of Guatemala   4.375%          6/5/27     510     544
Hungary (0.3%)
6 Republic of Hungary   1.625%         4/28/32     700     842
Indonesia (0.5%)
5 Perusahaan Perseroan Persero PT Perusahaan Listrik Negara   4.125%         5/15/27     200     216
4,6 Perusahaan Perseroan Persero PT Perusahaan Listrik Negara   1.875%         11/5/31     370     415
6 Republic of Indonesia   1.750%         4/24/25     650     779
                                           1,410
Israel (0.3%)
State of Israel   3.800%         5/13/60     291     325
State of Israel   4.500%          4/3/20     325     406
                                             731
Japan (0.4%)
5,14 Japan   0.100%         6/20/24  65,000     573
5,14 Japan   0.100%        12/20/26  30,000     265
5,14 Japan   0.100%         6/20/29  10,000      88
5,14 Japan   1.700%         9/20/33   6,000      62
                                             988
Mexico (0.9%)
5,15 United Mexican States   7.500%          6/3/27  34,500   1,680
5,6 United Mexican States   3.625%          4/9/29     700     939
                                           2,619
Morocco (0.3%)
4,5,6 Kingdom of Morocco   2.000%         9/30/30     670     749
Nigeria (0.1%)
4 Federal Republic of Nigeria   8.250%         9/28/51     280     276
Panama (0.5%)
5 Republic of Panama   3.750%         3/16/25     205     219
5 Republic of Panama   3.362%         6/30/31     702     695
5 Republic of Panama   4.500%         4/16/50     200     220
5 Republic of Panama   3.870%         7/23/60     400     399
                                           1,533
Paraguay (0.1%)
Republic of Paraguay   4.625%         1/25/23     153     159
Peru (0.1%)
5 Petroleos del Peru SA   5.625%         6/19/47     350     355
Philippines (0.4%)
6 Republic of the Philippines   1.750%         4/28/41     918   1,034
Republic of North Macedonia (0.1%)
4,5,6 Republic of North Macedonia   1.625%         3/10/28     207     231
Romania (0.5%)
5,6 Republic of Romania   2.500%          2/8/30     239     283
31

Global Credit Bond Fund
      Coupon Maturity
Date
Face
Amount
($000)
Market
Value

($000)
4,6 Republic of Romania   1.750%         7/13/30     830     919
5,6 Republic of Romania   2.750%         4/14/41     126     134
                                           1,336
Saudi Arabia (0.2%)
5 Kingdom of Saudi Arabia   4.000%         4/17/25     300     326
5 Saudi Arabian Oil Co.   3.500%         4/16/29     200     214
                                             540
Serbia (0.7%)
5,6 Republic of Serbia   3.125%         5/15/27     611     766
4,6 Republic of Serbia   2.050%         9/23/36   1,000   1,072
                                           1,838
Singapore (0.2%)
4 Temasek Financial I Ltd.   2.750%          8/2/61     500     514
Turkey (0.1%)
Republic of Turkey   5.750%         5/11/47     300     248
United Arab Emirates (0.8%)
4 Finance Department Government of Sharjah   4.000%         7/28/50     350     317
5 Sharjah Sukuk Program Ltd.   3.854%          4/3/26   1,750   1,863
                                           2,180
United Kingdom (0.6%)
8 United Kingdom   1.750%          9/7/37     300     445
8 United Kingdom   4.500%         12/7/42     180     399
8 United Kingdom   3.250%         1/22/44     150     290
8 United Kingdom   1.500%         7/22/47     250     368
8 United Kingdom   3.500%         7/22/68      90     242
                                           1,744
Total Sovereign Bonds (Cost $32,215) 32,100
Taxable Municipal Bonds (0.1%)
United States (0.1%)
New York Metropolitan Transportation Authority Revenue (Build America Bonds)
(Cost $319)
  5.871%        11/15/39     300         394
          Shares  
Temporary Cash Investments (4.0%)
Money Market Fund (4.0%)
16 Vanguard Market Liquidity Fund
(Cost $11,032)
  0.070%                 110,317         11,032
32

Global Credit Bond Fund
    Counterparty Expiration
Date
Exercise
Rate
Notional
Amount on
Underlying
Swap
($000)
Market
Value

($000)
Options Purchased (0.0%)
Over-the-Counter Swaptions (0.0%)
Call Swaptions
2-Year Interest Rate Swap, Pays 3M USD LIBOR Quarterly, Receives 0.603% Semiannually  NGFP  1/13/23          0.603%   2,422       3
2-Year Interest Rate Swap, Pays 3M USD LIBOR Quarterly, Receives 0.608% Semiannually CITNA  1/17/23          0.608%   2,429       3
2-Year Interest Rate Swap, Pays 3M USD LIBOR Quarterly, Receives 0.603% Semiannually BNPSW   2/3/23          0.603%   2,432       4
2-Year Interest Rate Swap, Pays 3M USD LIBOR Quarterly, Receives 0.630% Semiannually  MSCS   2/3/23          0.630%   2,432       4
                                              14
33

Global Credit Bond Fund
    Counterparty Expiration
Date
Exercise
Rate
Notional
Amount on
Underlying
Swap
($000)
Market
Value

($000)
Put Swaptions
5-Year CDX-NA-HY-S36-V1, Credit Protection Purchased, Pays 5.000% Quarterly   GSI 11/17/21          1.075%     850       1
5-Year CDX-NA-IG-S37-V1, Credit Protection Purchased, Pays 1.000% Quarterly   GSI 11/17/21          0.625%   2,545       1
                                               2
Total Options Purchased (Cost $50) 16
Total Investments (98.5%) (Cost $273,689)   274,849
Other Assets and Liabilities—Net (1.5%)   4,193
Net Assets (100%)   279,042
Cost is in $000.
See Note A in Notes to Financial Statements.
1 Securities with a value of $388,000 have been segregated as initial margin for open centrally cleared swap contracts.
2 Securities with a value of $596,000 have been segregated as initial margin for open futures contracts.
3 Securities with a value of $492,000 have been segregated as collateral for open forward currency contracts and over-the-counter swap contracts.
4 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 October 31, 2021, the aggregate value was $26,509,000, representing 9.5% of net assets.
5 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.
6 Face amount denominated in euro.
7 Face amount denominated in Australian dollars.
8 Face amount denominated in British pounds.
9 Variable-rate security; rate shown is effective rate at period end. Certain variable-rate securities are not based on a published reference rate and spread but are determined by the issuer or agent based on current market conditions.
10 Includes securities purchased on a when-issued or delayed-delivery basis for which the fund has not taken delivery as of October 31, 2021.
11 Face amount denominated in Canadian dollars.
12 Represents an unsettled loan as of October 31, 2021. The coupon rate is not known until the settlement date.
13 Security is a senior, secured, high-yield floating-rate loan. These loans are debt obligations issued by public and private companies and are comparable to high-yield bonds from a ratings and leverage perspective. At October 31, 2021, the aggregate value of these securities was $20,000, representing 0.0% of net assets.
14 Face amount denominated in Japanese yen.
15 Face amount denominated in Mexican pesos.
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.
  12M—12-month.
  3M—3-month.
  BNPSW—BNP Paribas.
  CITNA—Citibank, N.A.
  GSI—Goldman Sachs International.
  LIBOR—London Interbank Offered Rate.
  MSCS—Morgan Stanley Capital Services LLC.
  NGFP—Nomura Global Financial Products Inc.
34

Global Credit Bond Fund

Derivative Financial Instruments Outstanding as of Period End

Options Written
  Counterparty Expiration
Date
Excercise
Rate
Notional
Amount on
Underlying
Swap
($000)
Market
Value
($000)
Over-the-Counter Swaptions        
Call Swaptions
5-Year CDX-NA-IG-S37-V1, Credit Protection Purchased, Pays 1.000% Quarterly GSI 11/17/21 0.575% 5,090 (15)
 
Put Swaptions
5-Year CDX-NA-HY-S36-V1, Credit Protection Sold, Receives 5.000% Quarterly GSI 11/17/21 1.055% 850
5-Year CDX-NA-IG-S37-V1, Credit Protection Sold, Receives 1.000% Quarterly GSI 11/17/21 0.575% 5,090 (2)
          (2)
Total Options Written (Premiums Received $21)       (17)
GSI—Goldman Sachs International.
    
Futures Contracts
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Futures Contracts
5-Year Government of Canada Bond December 2021 11 1,090 (29)
5-Year U.S. Treasury Note December 2021 53 6,453 (49)
10-Year Government of Canada Bond December 2021 26 2,961 (105)
Euro-Bobl December 2021 22 3,402 (14)
Euro-Bund December 2021 29 5,636 (32)
Euro-Buxl December 2021 11 2,657 14
Euro-Schatz December 2021 79 10,225 (20)
Long U.S. Treasury Bond December 2021 28 4,504 (11)
Mini 10-Year Japanese Government Bond December 2021 5 664 (3)
Ultra Long U.S. Treasury Bond December 2021 5 982 22
        (227)
 
Short Futures Contracts
2-Year U.S. Treasury Note December 2021 (21) (4,604) 3
10-Year U.S. Treasury Note December 2021 (10) (1,307) 5
AUD 10-Year Treasury Bond December 2021 (26) (2,638) 101
35

Global Credit Bond Fund
Futures Contracts (continued)
      ($000)
  Expiration Number of
Long (Short)
Contracts
Notional
Amount
Value and
Unrealized
Appreciation
(Depreciation)
Long Gilt December 2021 (18) (3,077) (2)
Ultra 10-Year U.S. Treasury Note December 2021 (20) (2,901) 2
        109
        (118)
    
Forward Currency Contracts
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
(Depreciation)
($000)
Counterparty   Receive   Deliver
Bank of America, N.A. 12/15/21 EUR 1,930 USD 2,241 (8)
Toronto-Dominion Bank 12/15/21 EUR 159 USD 186 (2)
Barclays Bank plc 12/15/21 GBP 1,934 USD 2,670 (22)
Standard Chartered Bank 12/15/21 GBP 522 USD 714
BNP Paribas 7/22/22 JPY 248,425 USD 2,485 (298)
UBS AG 12/15/21 NZD 488 USD 350
State Street Bank & Trust Co. 12/15/21 SEK 3 USD
JPMorgan Chase Bank, N.A. 12/15/21 ZAR 1 USD
Bank of America, N.A. 12/15/21 USD 5,042 AUD 6,732 (23)
Morgan Stanley Capital Services LLC 12/15/21 USD 350 AUD 467 (1)
JPMorgan Chase Bank, N.A. 12/15/21 USD 3,297 CAD 4,073 6
JPMorgan Chase Bank, N.A. 12/15/21 USD 8 CAD 10
Toronto-Dominion Bank 12/15/21 USD 57,424 EUR 49,425 228
State Street Bank & Trust Co. 12/15/21 USD 2,186 EUR 1,893 (4)
State Street Bank & Trust Co. 11/24/21 USD 136 EUR 117 1
State Street Bank & Trust Co. 12/15/21 USD 32,494 GBP 23,603 187
BNP Paribas 7/22/22 USD 2,485 JPY 249,482 288
Morgan Stanley Capital Services LLC 12/15/21 USD 567 JPY 64,413 2
Barclays Bank plc 7/22/22 USD 483 JPY 49,480 47
Bank of America, N.A. 12/15/21 USD 1,822 MXN 37,071 33
UBS AG 12/15/21 USD 70 MXN 1,400 2
36

Global Credit Bond Fund
Forward Currency Contracts (continued)
  Contract
Settlement
Date
Contract Amount (000) Unrealized
Appreciation
($000)
Unrealized
(Depreciation)
($000)
Counterparty   Receive   Deliver
UBS AG 11/24/21 AUD 467 NZD 488 1
Morgan Stanley Capital Services LLC 12/15/21 USD 353 NZD 493 (1)
            795 (359)
AUD—Australian dollar.
CAD—Canadian dollar.
EUR—euro.
GBP—British pound.
JPY—Japanese yen.
MXN—Mexican peso.
NZD—New Zealand dollar.
SEK—Swedish krona.
USD—U.S. dollar.
ZAR—South African rand.
    
Centrally Cleared Credit Default Swaps
Reference Entity Termination
Date
  Notional
Amount
($000)
Periodic
Premium
Received
(Paid)1
(%)
Value
($000)
Unrealized
Appreciation
(depreciation)
($000)
Credit Protection Sold
CDX-NA-IG-S37-V1 12/20/24 USD 1,860 1.000 42 1
 
Credit Protection Purchased
CDX-NA-HY-S37-V1 12/20/26 USD 6,245 (5.000) (597) (16)
CDX-NA-IG-S37-V1 12/20/26 USD 625 (1.000) (16)
            (16)
            (15)
1 Periodic premium received/paid quarterly.
USD—U.S. dollar.
    
Over-the-Counter Credit Default Swaps
Reference
Entity
Termination
Date
Counterparty Notional
Amount
($000)
Periodic
Premium
Received
(Paid)1
(%)
Value
($000)
Remaining
Up-Front
Premium
Paid
(Received)
($000)
Unrealized
Appreciation
($000)
Unrealized
(Depreciation)
($000)
Credit Protection Sold/Moody's Rating
HeidelbergCement AG/Baa2 12/20/26 CITNA 900 2 5.000 223 217 6
Republic of Indonesia/Baa2 12/20/26 BARC 550 1.000 5 5
Republic of Indonesia/Baa2 12/20/26 BARC 280 1.000 3 1 2
Unibail-Rodamco-Westfield SE/Baa2 6/20/26 GSI 1,300 2 1.000 (8) (17) 9
          223 206 17
37

Global Credit Bond Fund
Over-the-Counter Credit Default Swaps (continued)
Reference
Entity
Termination
Date
Counterparty Notional
Amount
($000)
Periodic
Premium
Received
(Paid)1
(%)
Value
($000)
Remaining
Up-Front
Premium
Paid
(Received)
($000)
Unrealized
Appreciation
($000)
Unrealized
(Depreciation)
($000)
Credit Protection Purchased
Federative Republic of Brazil 12/20/26 MSCS 1,100 (1.000) 75 55 20
          298 261 37
1 Periodic premium received/paid quarterly.
2 Notional amount denominated in euro.
BARC—Barclays Bank plc.
CITNA—Citibank, N.A.
GSI—Goldman Sachs International.
MSCS—Morgan Stanley Capital Services LLC.
The notional amount represents the maximum potential amount the fund could be required to pay as a seller of credit protection if the reference entity was subject to a credit event.
At October 31, 2021, the counterparties had deposited in segregated accounts cash of $10,000 in connection with open forward currency contracts and over-the-counter swap contracts.
Centrally Cleared Interest Rate Swaps
Termination Date Future
Effective
Date
Notional
Amount
(000)
Interest
Rate
Received1
(%)
Interest
Rate
(Paid)2
(%)
Value
($000)
Unrealized
Appreciation
(Depreciation)
($000)
9/22/31 N/A 7,177 3 7.500 (4.965) (3) (3)
9/23/31 N/A 8,538 3 7.520 (4.983) (2) (2)
          (5) (5)
1 Interest payment received/paid every 28 days.
2 Based on 28-day Mexican Interbank Rate (TIIE) as of the most recent payment date. Interest payment received/paid every 28 days.
3 Notional amount denominated in Mexican pesos.
    
Over-the-Counter Interest Rate Swaps
Termination
Date
Counterparty Notional
Amount
(000)
Fixed
Interest
Rate
Received
(Paid)1
(%)
Floating
Interest
Rate
Received
(Paid)2
(%)
Value
($000)
Remaining
Up-Front
Premium
Received
(Paid)
($000)
Unrealized
Appreciation
($000)
Unrealized
(Depreciation)
($000)
1/4/27 BARC 6,200 3 10.960 (0.000) (46) (46)
1 Fixed interest payment received/paid at maturity.
2 Based on 1-Day Overnight Brazil CETIP Interbank Deposit Rate as of the most recent payment date. Interest payment received/paid at maturity.
3 Notional amount denominated in Brazilian real.
    
BARC—Barclays Bank plc.
See accompanying Notes, which are an integral part of the Financial Statements.
38

Global Credit Bond Fund
Statement of Assets and Liabilities
As of October 31, 2021
($000s, except shares and per-share amounts) Amount
Assets  
Investments in Securities, at Value  
Unaffiliated Issuers (Cost $262,657) 263,817
Affiliated Issuers (Cost $11,032) 11,032
Total Investments in Securities 274,849
Investment in Vanguard 9
Cash 58
Foreign Currency, at Value (Cost $241) 239
Receivables for Investment Securities Sold 4,349
Receivables for Accrued Income 2,133
Receivables for Capital Shares Issued 345
Swap Premiums Paid 278
Variation Margin Receivable—Centrally Cleared Swap Contracts 20
Unrealized Appreciation—Forward Currency Contracts 795
Unrealized Appreciation—Over-the-Counter Swap Contracts 37
Total Assets 283,112
Liabilities  
Payables for Investment Securities Purchased 3,308
Payables for Capital Shares Redeemed 278
Payables to Vanguard 32
Options Written, at Value (Premiums Received $21) 17
Swap Premiums Received 17
Variation Margin Payable—Futures Contracts 13
Unrealized Depreciation—Forward Currency Contracts 359
Unrealized Depreciation—Over-the-Counter Swap Contracts 46
Total Liabilities 4,070
Net Assets 279,042
39

Global Credit Bond Fund
Statement of Assets and Liabilities (continued)


At October 31, 2021, net assets consisted of:

($000s, except shares and per-share amounts) Amount
Paid-in Capital 272,904
Total Distributable Earnings (Loss) 6,138
Net Assets 279,042
 
Investor Shares—Net Assets  
Applicable to 4,193,011 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
46,202
Net Asset Value Per Share—Investor Shares $11.02
 
Admiral Shares—Net Assets  
Applicable to 10,564,050 outstanding $.001 par value shares of
beneficial interest (unlimited authorization)
232,840
Net Asset Value Per Share—Admiral Shares $22.04
See accompanying Notes, which are an integral part of the Financial Statements.
40

Global Credit Bond Fund
Statement of Operations
  Year Ended
October 31, 2021
  ($000)
Investment Income  
Income  
Interest 1 5,334
Total Income 5,334
Expenses  
The Vanguard Group—Note B  
Investment Advisory Services 26
Management and Administrative—Investor Shares 129
Management and Administrative—Admiral Shares 473
Marketing and Distribution—Investor Shares 3
Marketing and Distribution—Admiral Shares 9
Custodian Fees 37
Auditing Fees 51
Shareholders’ Reports—Investor Shares 3
Shareholders’ Reports—Admiral Shares 2
Trustees’ Fees and Expenses
Total Expenses 733
Net Investment Income 4,601
Realized Net Gain (Loss)  
Investment Securities Sold1 5,308
Futures Contracts 293
Options Purchased (255)
Options Written 156
Swap Contracts 51
Forward Currency Contracts (439)
Foreign Currencies 514
Realized Net Gain (Loss) 5,628
Change in Unrealized Appreciation (Depreciation)  
Investment Securities1 (4,751)
Futures Contracts (211)
Options Purchased (51)
Options Written 10
Swap Contracts 10
Forward Currency Contracts 92
Foreign Currencies (19)
Change in Unrealized Appreciation (Depreciation) (4,920)
Net Increase (Decrease) in Net Assets Resulting from Operations 5,309
1 Interest income, realized net gain (loss), and change in unrealized appreciation (depreciation) from an affiliated company of the fund were $14,000, less than $1,000, and less than $1,000, respectively. Purchases and sales are for temporary cash investment purposes.
See accompanying Notes, which are an integral part of the Financial Statements.
41

Global Credit Bond Fund
Statement of Changes in Net Assets
  Year Ended October 31,
  2021
($000)
2020
($000)
Increase (Decrease) in Net Assets    
Operations    
Net Investment Income 4,601 4,892
Realized Net Gain (Loss) 5,628 7,417
Change in Unrealized Appreciation (Depreciation) (4,920) 1,861
Net Increase (Decrease) in Net Assets Resulting from Operations 5,309 14,170
Distributions    
Investor Shares (1,802) (2,050)
Admiral Shares (10,060) (11,449)
Total Distributions (11,862) (13,499)
Capital Share Transactions    
Investor Shares 6,448 9,189
Admiral Shares 17,406 43,893
Net Increase (Decrease) from Capital Share Transactions 23,854 53,082
Total Increase (Decrease) 17,301 53,753
Net Assets    
Beginning of Period 261,741 207,988
End of Period 279,042 261,741
See accompanying Notes, which are an integral part of the Financial Statements.
42

Global Credit Bond Fund
Financial Highlights
Investor Shares      
For a Share Outstanding
Throughout Each Period
Year Ended October 31, November 15,
20181 to
October 31,
2019
2021 2020
Net Asset Value, Beginning of Period $11.26 $11.09 $10.00
Investment Operations      
Net Investment Income2 .176 .231 .287
Net Realized and Unrealized Gain (Loss) on Investments .059 .619 1.045
Total from Investment Operations .235 .850 1.332
Distributions      
Dividends from Net Investment Income (.217) (.338) (.242)
Distributions from Realized Capital Gains (.258) (.342)
Total Distributions (.475) (.680) (.242)
Net Asset Value, End of Period $11.02 $11.26 $11.09
Total Return3 2.07% 8.10% 13.46%
Ratios/Supplemental Data      
Net Assets, End of Period (Millions) $46 $41 $31
Ratio of Total Expenses to Average Net Assets 0.35% 0.35% 0.35% 4
Ratio of Net Investment Income to Average Net Assets 1.59% 2.11% 2.78% 4
Portfolio Turnover Rate 128% 5 264% 284%
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 Includes 13% attributable to mortgage-dollar-roll activity.
See accompanying Notes, which are an integral part of the Financial Statements.
43

Global Credit Bond Fund
Financial Highlights
Admiral Shares      
For a Share Outstanding
Throughout Each Period
Year Ended October 31, November 15,
20181 to
October 31,
2019
2021 2020
Net Asset Value, Beginning of Period $22.52 $22.19 $20.00
Investment Operations      
Net Investment Income2 .375 .485 .591
Net Realized and Unrealized Gain (Loss) on Investments .117 1.228 2.101
Total from Investment Operations .492 1.713 2.692
Distributions      
Dividends from Net Investment Income (.456) (.699) (.502)
Distributions from Realized Capital Gains (.516) (.684)
Total Distributions (.972) (1.383) (.502)
Net Asset Value, End of Period $22.04 $22.52 $22.19
Total Return3 2.18% 8.16% 13.60%
Ratios/Supplemental Data      
Net Assets, End of Period (Millions) $233 $221 $177
Ratio of Total Expenses to Average Net Assets 0.25% 0.25% 0.25% 4
Ratio of Net Investment Income to Average Net Assets 1.69% 2.21% 2.88% 4
Portfolio Turnover Rate 128% 5 264% 284%
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 Includes 13% attributable to mortgage-dollar-roll activity.
See accompanying Notes, which are an integral part of the Financial Statements.
44

Global Credit Bond Fund
Notes to Financial Statements
Vanguard Global Credit Bond Fund is registered under the Investment Company Act of 1940 as an open-end investment company, or mutual fund. The fund offers two classes of shares: Investor Shares and Admiral Shares. Each of the share classes has different eligibility and minimum purchase requirements, and is designed for different types of investors.
Certain of the fund's investments are in corporate debt instruments; the issuers' abilities to meet their obligations may be affected by economic developments in their respective industries. 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 securities denominated in currencies other than the U.S. dollar, the fund attempts to hedge its currency exposures. Market disruptions associated with the COVID-19 pandemic have had a global impact, and uncertainty exists as to the long-term implications. Such disruptions can adversely affect assets of the fund and thus fund performance.
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, as furnished by independent pricing services. 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.
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 futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouse, and has entered into clearing agreements with its clearing
45

Global Credit Bond Fund
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. Any securities pledged as initial margin for open contracts are noted in the Schedule of Investments.
Futures contracts are valued at their quoted daily settlement prices. The notional amounts of the contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities 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 gains (losses) on futures contracts.
During the year ended October 31, 2021, the fund’s average investments in long and short futures contracts represented 13% and 7% of net assets, respectively, based on the average of the notional amounts at each quarter-end during the period.
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 securities pledged as collateral for open contracts are noted in the Schedule of Investments. 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 Assets and Liabilities. Fluctuations in the value of the contracts are recorded in the Statement of Assets and Liabilities 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 gains (losses) on forward currency contracts.
During the year ended October 31, 2021, the fund’s average investment in forward currency contracts represented 38% of net assets, based on the average of the notional amounts at each quarter-end during the period.
46

Global Credit Bond Fund
5. Options: The fund invests in options contracts on futures to adjust its exposure to the underlying investments. The primary risk associated with purchasing options is that if interest rates move in such a way that the option is out-of-the-money, the position is worthless at expiration, and the fund loses the premium paid. The primary risk associated with selling options is that if interest rates move in such a way that the option is in-the-money, the counterparty exercises the option, and the fund loses an amount equal to the market value of the option written less the premium received. Counterparty risk involving options on futures contracts is mitigated because a regulated clearinghouse is the counterparty instead of the clearing broker. To further mitigate counterparty risk, the fund trades options on futures contracts on an exchange, monitors the financial strength of its clearing brokers and clearinghouses, and has entered into clearing agreements with its clearing brokers.
Options contracts on futures are valued at their quoted daily settlement prices. The premium paid for a purchased option is recorded in the Statement of Assets and Liabilities as an asset that is subsequently adjusted daily to the current market value of the option purchased. The premium received for a written option is recorded in the Statement of Assets and Liabilities as an asset with an equal liability that is subsequently adjusted daily to the current market value of the option written. The notional amounts of option contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of the options are recorded in the Statement of Operations as unrealized appreciation (depreciation) until expired, closed, or exercised, at which time realized gains (losses) are recognized.
During the year ended October 31, 2021, the fund’s average value of options purchased and options written each represented less than 1% of net assets, based on the average market values at each quarter-end during the period.
6. Swaptions: The fund invests in options on swaps, which are transacted over-the-counter (OTC) and not on an exchange. The fund enters into swaptions to adjust the fund's sensitivity to interest rates or to adjust its exposure to the underlying investments. The fund may purchase a swaption from a counterparty whereby the fund has the right to enter into a swap in which the fund will pay either a fixed percentage rate or a floating rate, which is reset periodically based on short-term interest rate, and receive a different floating rate, each applied to a notional amount. The fund may also sell a swaption to a counterparty whereby the fund grants the counterparty the right to enter into a swap in which the fund will pay a floating rate and receive a fixed rate, each applied to a notional amount. Swaptions also include options that allow an existing swap to be terminated or extended by one of the counterparties. Unlike exchange-traded options, which are standardized with respect to the underlying instrument, expiration date, contract size, and strike price, the terms of OTC options generally are established through negotiation with the other party to the option contract. Although this type of arrangement allows the purchaser or writer greater flexibility to tailor an option to its needs, OTC options generally involve greater credit risk than exchange-traded options. Credit risk involves the possibility that a counterparty may default on its obligation to pay net amounts due to the fund. The fund mitigates its counterparty risk by entering into swaptions with a diverse group of prequalified counterparties and monitoring their financial strength.
The primary risk associated with purchasing swaptions is that interest rates or the value of the underlying investments move in such a way that the swaption is out-of-the money, the position is worthless at expiration, and the fund loses the premium paid. The primary risk associated with selling swaptions is that interest rates or the value of the underlying investments move in such a way that the swaption is in-the-money, the counterparty exercises the swaption, and the resulting
47

Global Credit Bond Fund
interest rate swap results in a negative cash flow to the fund in an amount greater than the premium received. A risk associated with all types of swaptions is the possibility that a counterparty may default on its obligations under the swaption contract.
Swaptions are valued based on market quotations received from independent pricing services or recognized dealers. The premium paid for a purchased swaption is recorded in the Statement of Assets and Liabilities as an asset and is subsequently adjusted daily based on the current market value of the swaption. The premium received for a written swaption is recorded in the Statement of Assets and Liabilities as an asset with an equal liability and is subsequently adjusted daily based on the current market value of the swaption. The notional amounts of option contracts are not recorded in the Statement of Assets and Liabilities. Fluctuations in the value of swaptions are recorded in the Statement of Operations as unrealized appreciation (depreciation) until expired, closed, or exercised, at which time realized gains (losses) are recognized.
During the year ended October 31, 2021, the fund’s average value of investments in swaptions purchased and swaptions written each less than 1% of net assets, based on the average market values at each quarter-end during the period.
7. Swap Contracts: The fund invests in credit default swaps to adjust the overall credit risk of the fund or to actively overweight or underweight credit risk to a specific issuer or group of issuers. The fund may sell credit protection through credit default swaps to simulate investments in long positions that are either unavailable or considered to be less attractively priced in the bond market. The fund may purchase credit protection through credit default swaps to reduce credit exposure to a given issuer or issuers. Under the terms of the swaps, an up-front payment may be exchanged between the seller and buyer. In addition, the seller of the credit protection receives a periodic payment of premium from the buyer that is a fixed percentage applied to a notional amount. If, for example, the reference entity is subject to a credit event (such as bankruptcy, failure to pay, or obligation acceleration) during the term of the swap, the seller agrees to either physically settle or cash settle the swap contract. If the swap is physically settled, the seller agrees to pay the buyer an amount equal to the notional amount and take delivery of a debt instrument of the reference issuer with a par amount equal to such notional amount. If the swap is cash settled, the seller agrees to pay the buyer the difference between the notional amount and the final price for the relevant debt instrument, as determined either in a market auction or pursuant to a pre-agreed-upon valuation procedure.
The fund enters into interest rate swap transactions to adjust the fund’s sensitivity to changes in interest rates and maintain the ability to generate income at prevailing market rates. Under the terms of the swaps, one party pays the other either an amount that is a fixed percentage rate or a floating rate, which is reset periodically based on short-term interest rates, applied to a notional amount. In return, the counterparty agrees to pay a different floating rate, which is reset periodically based on short-term interest rates, applied to the same notional amount.
The fund enters into centrally cleared interest rate and credit default swaps to achieve the same objectives specified with respect to the equivalent over-the-counter swaps but with less counterparty risk because a regulated clearinghouse is the counterparty instead of the clearing broker or executing broker. 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. To further mitigate counterparty risk, the fund trades with a diverse group of prequalified executing brokers; monitors the financial strength of its clearing brokers,
48

Global Credit Bond Fund
executing brokers, and clearinghouse; and has entered into agreements with its clearing brokers and executing brokers.
The primary risk associated with selling credit protection is that, upon the occurrence of a defined credit event, the market value of the debt instrument received by the fund (or, in a cash settled swap, the debt instruments used to determine the settlement payment by the fund) will be significantly less than the amount paid by the fund and, in a physically settled swap, the fund may receive an illiquid debt instrument. A risk associated with all types of swaps is the possibility that a counterparty may default on its obligation to pay net amounts due to the fund. The fund’s maximum amount subject to counterparty risk is the unrealized appreciation on the swap contract. The fund mitigates its counterparty risk by entering into swaps 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. In the event of a counterparty’s default (including bankruptcy), the fund may terminate any swap contracts with that counterparty, 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 swap 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 securities pledged as collateral for open contracts are noted in the Schedule of Investments. The value of collateral received or pledged is compared daily to the value of the swap 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.
The notional amounts of swap contracts are not recorded in the Statement of Assets and Liabilities. Swaps are valued daily based on market quotations received from independent pricing services or recognized dealers and the change in value is recorded in the Statement of Assets and Liabilities as an asset (liability) and in the Statement of Operations as unrealized appreciation (depreciation) until the seller of credit protection is required to take delivery (or, in a cash settled swap, pay the settlement amount determined) upon occurrence of a credit event, periodic payments are made, or the swap terminates, at which time realized gain (loss) is recorded. The net premium to be received or paid by the fund under swap contracts is accrued daily and recorded as realized gain (loss) over the life of the contract.
During the year ended October 31, 2021, the fund's average amounts of investments in credit protection sold and credit protection purchased each represented 3% of net assets, based on the average of notional amounts at each quarter-end during the period. The average amount of investments in interest rate swaps represented less than 1% of net assets, based on the average of notional amounts at each quarter-end during the period.
8. To Be Announced (TBA) Transactions: A TBA transaction is an agreement to buy or sell mortgage-backed securities with agreed-upon characteristics (face amount, coupon, maturity) for settlement at a future date. The fund may be a seller of TBA transactions to reduce its exposure to the mortgage-backed securities market or in order to sell mortgage-backed securities it owns under delayed-delivery arrangements. When the fund is a buyer of TBA transactions, it maintains cash or short-term investments in an amount sufficient to meet the purchase price at the settlement date of the TBA transaction. The primary risk associated with TBA transactions is that a
49

Global Credit Bond Fund
counterparty may default on its obligations. The fund mitigates its counterparty risk by, among other things, performing a credit analysis of counterparties, allocating transactions among numerous counterparties, and monitoring its exposure to each counterparty. The fund may also enter into a Master Securities Forward Transaction Agreement (MSFTA) with certain counterparties and require them 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. Under an MSFTA, upon a counterparty default (including bankruptcy), the fund may terminate any TBA transactions with that counterparty, determine the net amount owed by either party in accordance with its MSFTA, and sell or retain any collateral held up to the net amount owed to the fund under the MSFTA.
9. Mortgage Dollar Rolls: The fund enters into mortgage-dollar-roll transactions, in which the fund sells mortgage-backed securities to a dealer and simultaneously agrees to purchase similar securities in the future at a predetermined price. The proceeds of the securities sold in mortgage-dollar-roll transactions are typically invested in high-quality short-term fixed income securities. The fund forgoes principal and interest paid on the securities sold, and is compensated by interest earned on the proceeds of the sale and by a lower price on the securities to be repurchased. The fund also enters into mortgage-dollar-roll transactions in which the fund buys mortgage-backed securities from a dealer pursuant to a TBA transaction and simultaneously agrees to sell similar securities in the future at a predetermined price. The securities bought in mortgage-dollar-roll transactions are used to cover an open TBA sell position. The fund continues to earn interest on mortgage-backed security pools already held and receives a lower price on the securities to be sold in the future. The fund accounts for mortgage-dollar-roll transactions as purchases and sales; as such, these transactions may increase the fund’s portfolio turnover rate. Amounts to be received or paid in connection with open mortgage dollar rolls are included in Receivables for Investment Securities Sold or Payables for Investment Securities Purchased in the Statement of Assets and Liabilities.
10. Federal Income Taxes: The fund intends to continue to qualify as a regulated investment company and distribute all of its taxable income. The fund’s tax returns are open to examination by the relevant tax authorities until expiration of the applicable statute of limitations, which is generally three years after the filing of the tax return. Management has analyzed the fund’s tax positions taken for all open federal and state income tax years, and has concluded that no provision for income tax is required in the fund’s financial statements.
11. Distributions: Distributions to shareholders are recorded on the ex-dividend date. Distributions are determined on a tax basis at the fiscal year-end and may differ from net investment income and realized capital gains for financial reporting purposes.
12. Credit Facilities and Interfund Lending Program: The fund and certain other funds managed by The Vanguard Group ("Vanguard") participate in a $4.3 billion committed credit facility provided by a syndicate of lenders pursuant to a credit agreement and an uncommitted credit facility provided by Vanguard. Both facilities may be renewed annually. Each fund is individually liable for its borrowings, if any, under the credit facilities. Borrowings may be utilized for temporary or emergency purposes, subject to the fund’s regulatory and contractual borrowing restrictions. With respect to the committed credit facility, the participating funds are charged administrative fees and an annual commitment fee of 0.10% of the undrawn committed 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 either facility bear interest at a rate based upon the higher of the one-month
50

Global Credit Bond Fund
London Interbank Offered Rate (or an acceptable alternate rate, if necessary), federal funds effective rate, or overnight bank funding rate plus an agreed-upon spread, except that borrowings under the uncommitted credit facility may bear interest based upon an alternative rate agreed to by the fund and Vanguard.
In accordance with an exemptive order (the “Order”) from the SEC, the fund may participate in a joint lending and borrowing program that allows registered open-end Vanguard funds to borrow money from and lend money to each other for temporary or emergency purposes (the “Interfund Lending Program”), subject to compliance with the terms and conditions of the Order, and to the extent permitted by the fund’s investment objective and investment policies. Interfund loans and borrowings normally extend overnight, but can have a maximum duration of seven days. Loans may be called on one business day’s notice. The interest rate to be charged is governed by the conditions of the Order and internal procedures adopted by the board of trustees. The board of trustees is responsible for overseeing the Interfund Lending Program.
For the year ended October 31, 2021, the fund did not utilize the credit facilities or the Interfund Lending Program.
13. Other: Interest income includes income distributions received from Vanguard Market Liquidity Fund and is accrued daily. Premiums and discounts on debt securities are amortized and accreted, respectively, to interest income over the lives of the respective securities, except for premiums on certain callable debt securities that are amortized to the earliest call date. 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 and are generally settled twice a month.
Upon the request of Vanguard, the fund may invest up to 0.40% of its net assets as capital in Vanguard. At October 31, 2021, the fund had contributed to Vanguard capital in the amount of $9,000, representing less than 0.01% of the fund’s net assets and less than 0.01% of Vanguard’s capital received pursuant to the FSA. The fund’s trustees and officers are also directors and employees, respectively, of Vanguard.
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Global Credit Bond Fund
C.  Various inputs may be used to determine the value of the fund’s investments and derivatives. 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). Any investments and derivatives valued with significant unobservable inputs are noted on the Schedule of Investments.
The following table summarizes the market value of the fund's investments and derivatives as of October 31, 2021, based on the inputs used to value them:
  Level 1
($000)
Level 2
($000)
Level 3
($000)
Total
($000)
Investments        
Assets        
U.S. Government and Agency Obligations 18,569 18,569
Asset-Backed/Commercial Mortgage-Backed Securities 971 971
Corporate Bonds 211,767 211,767
Sovereign Bonds 32,100 32,100
Taxable Municipal Bonds 394 394
Temporary Cash Investments 11,032 11,032
Options Purchased 16 16
Total 11,032 263,817 274,849
Derivative Financial Instruments        
Assets        
Futures Contracts1 147 147
Forward Currency Contracts 795 795
Swap Contracts 1 1 37 38
Total 148 832 980
Liabilities        
Options Written 17 17
Futures Contracts1 265 265
Forward Currency Contracts 359 359
Swap Contracts 21 1 46 67
Total 286 422 708
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
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Global Credit Bond Fund
D.  At October 31, 2021, the fair values of derivatives were reflected in the Statement of Assets and Liabilities as follows:
Statement of Assets and Liabilities Interest
Rate
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Credit
Contracts
($000)
Total
($000)
Investments in Securities, at Value—Unaffiliated Issuers (Options Purchased) 14 2 16
Swap Premiums Paid 278 278
Unrealized Appreciation—Futures Contracts1 147 147
Unrealized Appreciation—Centrally Cleared Swap Contracts1 1 1
Unrealized Appreciation—Forward Currency Contracts 795 795
Unrealized Appreciation—Over-the-Counter Swap Contracts 37 37
Total Assets 161 795 318 1,274
         
Options Written, at Value 17 17
Swap Premiums Received 17 17
Unrealized Depreciation—Futures Contracts1 265 265
Unrealized Depreciation—Centrally Cleared Swap Contracts1 5 16 21
Unrealized Depreciation—Forward Currency Contracts 359 359
Unrealized Depreciation—Over-the-Counter Swap Contracts 46 46
Total Liabilities 316 359 50 725
1 Includes cumulative appreciation (depreciation) on futures contracts and centrally cleared swaps, if any, as reported in the Schedule of Investments. Only current day’s variation margin is reported within the Statement of Assets and Liabilities.
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Global Credit Bond Fund
Realized net gain (loss) and the change in unrealized appreciation (depreciation) on derivatives for the year ended October 31, 2021, were:
Realized Net Gain (Loss) on Derivatives Interest
Rate
Contracts
($000)
Foreign
Exchange
Contracts
($000)
Credit
Contracts
($000)
Total
($000)
Futures Contracts 293 293
Options Purchased (96) (159) (255)
Options Written 52 104 156
Forward Currency Contracts (439) (439)
Swap Contracts 54 (3) 51
Realized Net Gain (Loss) on Derivatives 303 (439) (58) (194)
 
Change in Unrealized Appreciation (Depreciation) on Derivatives
Futures Contracts (211) (211)
Options Purchased (37) (14) (51)
Options Written (12) 22 10
Forward Currency Contracts 92 92
Swap Contracts (51) 61 10
Change in Unrealized Appreciation (Depreciation) on Derivatives (311) 92 69 (150)
E.  Permanent differences between book-basis and tax-basis components of net assets are reclassified among capital accounts in the financial statements to reflect their tax character. These reclassifications have no effect on net assets or net asset value per share. As of period end, permanent differences primarily attributable to the accounting for foreign currency transactions, distributions in connection with fund share redemptions, and swap agreements were reclassified between the following accounts:
  Amount
($000)
Paid-in Capital 335
Total Distributable Earnings (Loss) (335)
Temporary differences between book-basis and tax-basis components of total distributable earnings (loss) arise when certain items of income, gain, or loss are recognized in different periods for financial statement and tax purposes; these differences will reverse at some time in the future. The differences are primarily related to the deferral of losses from wash sales; the deferral of losses from straddles; the recognition of unrealized gains or losses from certain derivative
54

Global Credit Bond Fund
contracts; and the recognition of gain or loss from foreign currency hedges. As of period end, the tax-basis components of total distributable earnings (loss) are detailed in the table as follows:
  Amount
($000)
Undistributed Ordinary Income 2,982
Undistributed Long-Term Gains 1,497
Capital Loss Carryforwards
Qualified Late-Year Losses
Net Unrealized Gains (Losses) 1,707
The tax character of distributions paid was as follows:
  Year Ended October 31,
  2021
Amount
($000)
2020
Amount
($000)
Ordinary Income* 11,168 13,499
Long-Term Capital Gains 694
Total 11,862 13,499
* Includes short-term capital gains, if any.
As of October 31, 2021, gross unrealized appreciation and depreciation for investments and derivatives based on cost for U.S. federal income tax purposes were as follows:
  Amount
($000)
Tax Cost 273,368
Gross Unrealized Appreciation 6,551
Gross Unrealized Depreciation (4,826)
Net Unrealized Appreciation (Depreciation) 1,725
F.  During the year ended October 31, 2021, the fund purchased $257,708,000 of investment securities and sold $246,498,000 of investment securities, other than U.S. government securities and temporary cash investments. Purchases and sales of U.S. government securities were $106,996,000 and $86,807,000, respectively.
The fund purchased securities from and sold securities to other Vanguard funds or accounts managed by Vanguard or its affiliates, in accordance with procedures adopted by the board of trustees in compliance with Rule 17a-7 of the Investment Company Act of 1940. For the year ended October 31, 2021, such purchases were $713,000 and sales were $36,295,000, resulting in net realized gain of $819,000; these amounts, other than temporary cash investments, are included in the purchases and sales of investment securities noted above.
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Global Credit Bond Fund
G.  Capital share transactions for each class of shares were:
  Year Ended October 31,
  2021   2020
  Amount
($000)
Shares
(000)
  Amount
($000)
Shares
(000)
Investor Shares          
Issued 32,478 2,913   39,066 3,549
Issued in Lieu of Cash Distributions 1,530 138   1,693 159
Redeemed (27,560) (2,477)   (31,570) (2,882)
Net Increase (Decrease)—Investor Shares 6,448 574   9,189 826
Admiral Shares          
Issued 95,639 4,281   142,247 6,445
Issued in Lieu of Cash Distributions 8,185 367   9,379 439
Redeemed (86,418) (3,898)   (107,733) (5,045)
Net Increase (Decrease)—Admiral Shares 17,406 750   43,893 1,839
H.  Management has determined that no events or transactions occurred subsequent to October 31, 2021, that would require recognition or disclosure in these financial statements.
56

Report of Independent Registered
Public Accounting Firm
To the Board of Trustees of Vanguard Charlotte Funds and Shareholders of Vanguard Global Credit Bond Fund
Opinion on the Financial Statements
We have audited the accompanying statement of assets and liabilities, including the schedule of investments, of Vanguard Global Credit Bond Fund (one of the funds constituting Vanguard Charlotte Funds, referred to hereafter as the "Fund") as of October 31, 2021, the related statement of operations for the year ended October 31, 2021, the statement of changes in net assets for each of the two years in the period ended October 31, 2021, including the related notes, and the financial highlights for each of the two years in the period ended October 31, 2021 and for the period November 15, 2018 (inception) through October 31, 2019 (collectively referred to as the "financial statements"). In our opinion, the financial statements present fairly, in all material respects, the financial position of the Fund as of October 31, 2021, the results of its operations for the year then ended, the changes in its net assets for each of the two years in the period ended October 31, 2021 and the financial highlights for each of the two years in the period ended October 31, 2021 and for the period November 15, 2018 (inception) through October 31, 2019 in conformity with accounting principles generally accepted in the United States of America.
Basis for Opinion
These financial statements are the responsibility of the Fund’s management. Our responsibility is to express an opinion on the Fund’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Fund in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.
We conducted our audits of these financial statements in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud.
Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. Our procedures included confirmation of securities owned as of October 31, 2021 by correspondence with the custodian, transfer agent and brokers; when replies were not received from brokers, we performed other auditing procedures. We believe that our audits provide a reasonable basis for our opinion.
/s/PricewaterhouseCoopers LLP
Philadelphia, Pennsylvania
December 17, 2021
We have served as the auditor of one or more investment companies in The Vanguard Group of Funds since 1975.
57


Special 2021 tax information (unaudited) for Vanguard Global Credit Bond Fund
This information for the fiscal year ended October 31, 2021, is included pursuant to provisions of the Internal Revenue Code.
The fund distributed $897,000 as capital gain dividend (20% rate gain distributions) to shareholders during the fiscal year.
For nonresident alien shareholders, 100% of short-term capital gain dividends distributed by the fund are qualified short-term capital gains.
The percentage of the ordinary dividends reported by the fund that is treated as a section 163(j) interest dividend and thus is eligible to be treated as interest income for purposes of Section 163(j) and the regulations thereunder is 41.2%.
58

"Bloomberg®" and Bloomberg Global Aggregate Credit Index (USD Hedged) are service marks of Bloomberg Finance L.P. and its affiliates, including Bloomberg Index Services Limited (BISL), the administrator of the index (collectively, Bloomberg), and have been licensed for use for certain purposes by The Vanguard Group, Inc. (Vanguard).
The Global Credit Bond Fund is not sponsored, endorsed, sold or promoted by Bloomberg. Bloomberg does not make any representation or warranty, express or implied, to the owners of or counterparties to the Global Credit Bond Fund or any member of the public regarding the advisability of investing in securities generally or in the Global Credit Bond Fund particularly. The only relationship of Bloomberg to Vanguard is the licensing of certain trademarks, trade names and service marks and of the Bloomberg Global Aggregate Credit Index (USD Hedged), which is determined, composed and calculated by BISL without regard to Vanguard or the Global Credit Bond Fund. Bloomberg has no obligation to take the needs of Vanguard or the owners of the Global Credit Bond Fund into consideration in determining, composing or calculating the Bloomberg Global Aggregate Credit Index (USD Hedged). Bloomberg is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Global Credit Bond Fund to be issued. Bloomberg shall not have any obligation or liability, including, without limitation, to Global Credit Bond Fund customers, in connection with the administration, marketing or trading of the Global Credit Bond Fund.
BLOOMBERG DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE BLOOMBERG GLOBAL AGGREGATE CREDIT INDEX (USD HEDGED) OR ANY DATA RELATED THERETO AND SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS OR INTERRUPTIONS THEREIN. BLOOMBERG DOES NOT MAKE ANY WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY VANGUARD, OWNERS OF THE GLOBAL CREDIT BOND FUND OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE BLOOMBERG GLOBAL AGGREGATE CREDIT INDEX (USD HEDGED) OR ANY DATA RELATED THERETO. BLOOMBERG DOES NOT MAKE ANY EXPRESS OR IMPLIED WARRANTIES AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE BLOOMBERG GLOBAL AGGREGATE CREDIT INDEX (USD HEDGED) OR ANY DATA RELATED THERETO. WITHOUT LIMITING ANY OF THE FOREGOING, TO THE MAXIMUM EXTENT ALLOWED BY LAW, BLOOMBERG, ITS LICENSORS, AND ITS AND THEIR RESPECTIVE EMPLOYEES, CONTRACTORS, AGENTS, SUPPLIERS, AND VENDORS SHALL HAVE NO LIABILITY OR RESPONSIBILITY WHATSOEVER FOR ANY INJURY OR DAMAGES—WHETHER DIRECT, INDIRECT, CONSEQUENTIAL, INCIDENTAL, PUNITIVE OR OTHERWISE—ARISING IN CONNECTION WITH THE GLOBAL CREDIT BOND FUND OR BLOOMBERG GLOBAL AGGREGATE CREDIT INDEX (USD HEDGED) OR ANY DATA OR VALUES RELATING THERETO—WHETHER ARISING FROM THEIR NEGLIGENCE OR OTHERWISE, EVEN IF NOTIFIED OF THE POSSIBILITY THEREOF.
© 2021 Bloomberg.
Used with Permission. Source: Bloomberg Index Services Limited. Copyright 2021, Bloomberg. 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.
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 214 Vanguard funds.
Information for each trustee and executive officer of the fund appears below. That information, as well as the Vanguard fund count, is as of the date on the cover of this fund report. 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.
Interested Trustee1
Mortimer J. Buckley
Born in 1969. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: chairman of the board (2019–present) of Vanguard and of each of the investment companies served by Vanguard; chief executive officer (2018–present) of Vanguard; chief executive officer, president, and trustee (2018–present) of each of the investment companies served by Vanguard; president and director (2017–present) of Vanguard; and president (2018–present) of Vanguard Marketing Corporation. Chief investment officer (2013–2017), managing director (2002–2017), head of the Retail Investor Group (2006–2012), and chief information officer (2001–2006) of Vanguard. Chairman of the board (2011–2017) and trustee (2009–2017) of the Children’s Hospital of Philadelphia; and trustee (2018–present) and vice chair (2019–present) of The Shipley School.
Independent Trustees
Emerson U. Fullwood
Born in 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). Former president of the Worldwide Channels Group, Latin America, and Worldwide Customer Service and executive chief staff officer of Developing Markets of Xerox. Executive in residence and 2009–2010 Distinguished Minett Professor at the Rochester Institute of Technology. Director of SPX FLOW, Inc. (multi-industry manufacturing). Director of the University of Rochester Medical Center, the Monroe Community College Foundation, the United Way of Rochester, North Carolina A&T University, and Roberts Wesleyan College. Trustee of the University of Rochester.
Amy Gutmann
Born in 1949. Trustee since June 2006. Principal occupation(s) during the past five years and other experience: president (2004–present) 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.
 
1 Mr. Buckley is considered an “interested person,” as defined in the Investment Company Act of 1940, because he is an officer of the Vanguard funds.

F. Joseph Loughrey
Born in 1949. Trustee since October 2009. Principal occupation(s) during the past five years and other experience: president and chief operating officer (retired 2009) and vice chairman of the board (2008–2009) of Cummins Inc. (industrial machinery). Chairman of the board of Hillenbrand, Inc. (specialized consumer services). Director of the V Foundation. 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. Chairman of the board of Saint Anselm College.
Mark Loughridge
Born in 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) of IBM (information technology services). Fiduciary member of IBM’s Retirement Plan Committee (2004–2013), senior vice president and general manager (2002–2004) of IBM Global Financing, vice president and controller (1998–2002) of IBM, and a variety of other prior management roles at IBM. Member of the Council on Chicago Booth.
Scott C. Malpass
Born in 1962. Trustee since March 2012. Principal occupation(s) during the past five years and other experience: chief investment officer (retired June 2020) and vice president (retired June 2020) of the University of Notre Dame. Assistant professor (retired June 2020) of finance at the Mendoza College of Business, University of Notre Dame, and member of the Notre Dame 403(b) Investment Committee. Member of the board of Catholic Investment Services, Inc. (investment advisors) and the board of superintendence of the Institute for the Works of Religion.
Deanna Mulligan
Born in 1963. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: board chair (2020), chief executive officer (2011–2020), and president (2010–2019) of The Guardian Life Insurance Company of America. Chief operating officer (2010–2011) and executive vice president (2008–2010) of Individual Life and Disability of the Guardian Life Insurance Company of America. Member of the board of the Economic Club of New York. Trustee of the Partnership for New York City (business leadership), Chief Executives for Corporate Purpose, NewYork-Presbyterian Hospital, and the Bruce Museum (arts and science). Member of the Advisory Council for the Stanford Graduate School of Business.
André F. Perold
Born in 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 (private investment firm). Member of the board (2018–present) of RIT Capital Partners (investment firm). Member of the investment committee of Partners Health Care System.
Sarah Bloom Raskin
Born in 1961. Trustee since January 2018. Principal occupation(s) during the past five years and other experience: deputy secretary (2014–2017) of the United States Department of the Treasury. Governor (2010–2014) of the Federal Reserve Board. Commissioner (2007–2010) of financial regulation for the State of Maryland. Professor (2020–present), Distinguished Fellow of the Global Financial Markets Center (2020–present), and Rubenstein Fellow (2017–2020) at Duke University. Trustee (2017–present) of Amherst College and member of Amherst College Investment Committee (2019–present). Member of the Regenerative Crisis Response Committee (2020–present).
David A. Thomas
Born in 1956. Trustee since July 2021. Principal occupation(s) during the past five years and other experience: president of Morehouse College (2018–present). Professor of business administration, emeritus at Harvard University (2017–2018). Dean (2011–2016) and professor of management (2016–2017) at the Georgetown University McDonough School of Business. Director of DTE Energy Company (2013–present). Trustee of Common Fund (2019–present).
Peter F. Volanakis
Born in 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) and director of Corning Incorporated (2000–2010) and Dow Corning (2001–2010). Director (2012) of SPX Corporation (multi-industry manufacturing). Overseer of the Amos Tuck School of Business Administration, Dartmouth College (2001–2013). Chairman of the board of trustees of Colby-Sawyer College. Member of the BMW Group Mobility Council.

Executive Officers
Christine M. Buchanan
Born in 1970. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief financial officer (2021–present) and treasurer (2017–present) of each of the investment companies served by Vanguard. Partner (2005–2017) at KPMG (audit, tax, and advisory services).
David Cermak
Born in 1960. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Finance director (2019–present) of each of the investment companies served by Vanguard. Managing director and head (2017–present) of Vanguard Investments Singapore. Managing director and head (2017–2019) of Vanguard Investments Hong Kong. Representative director and head (2014–2017) of Vanguard Investments Japan.
John Galloway
Born in 1973. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Investment stewardship officer (September 2020–present) of each of the investment companies served by Vanguard. Head of Investor Advocacy (February 2020–present) and head of Marketing Strategy and Planning (2017–2020) at Vanguard. Deputy assistant to the President of the United States (2015).
Peter Mahoney
Born in 1974. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Controller (2015–present) of each of the investment companies served by Vanguard. Head of International Fund Services (2008–2014) at Vanguard.
Anne E. Robinson
Born in 1970. Principal occupation(s) during the past five years and other experience: general counsel (2016–present) of Vanguard. Secretary (2016–present) of Vanguard and of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Managing director and general counsel of Global Cards and Consumer Services (2014–2016) at Citigroup. Counsel (2003–2014) at American Express.
Michael Rollings
Born in 1963. Principal occupation(s) during the past five years and other experience: finance director (2017–present) and treasurer (2017) of each of the investment companies served by Vanguard. Managing director (2016–present) of Vanguard. Chief financial officer (2016–present) of Vanguard. Director (2016–present) of Vanguard Marketing Corporation. Executive vice president and chief financial officer (2006–2016) of MassMutual Financial Group.
John E. Schadl
Born in 1972. Principal occupation(s) during the past five years and other experience: principal of Vanguard. Chief compliance officer (2019–present) of Vanguard and of each of the investment companies served by Vanguard. Assistant vice president (2019–present) of Vanguard Marketing Corporation.
Vanguard Senior Management Team
Matthew Benchener Thomas M. Rampulla
Joseph Brennan Karin A. Risi
Mortimer J. Buckley Anne E. Robinson
Gregory Davis Michael Rollings
John James Nitin Tandon
John T. Marcante Lauren Valente
Chris D. McIsaac  

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All comparative mutual fund data are from Morningstar, Inc., unless otherwise noted.
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You can review information about your fund on the SEC’s website, and you can receive copies of this information, for a fee, by sending a request via email addressed to publicinfo@sec.gov.
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All rights reserved.
Vanguard Marketing Corporation, Distributor.
Q20250 122021

 

 

 

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.

 

All members of the Audit Committee have been determined by the Registrant’s Board of Trustees to be Audit Committee Financial Experts and to be independent: F. Joseph Loughrey, Mark Loughridge, Sarah Bloom Raskin, and Peter F. Volanakis.

 

 

 

 

Item 4: Principal Accountant Fees and Services.

 

(a)           Audit Fees.

 

Audit Fees of the Registrant.

 

Fiscal Year Ended October 31, 2021: $264,000
Fiscal Year Ended October 31, 2020: $195,000

 

Aggregate Audit Fees of Registered Investment Companies in the Vanguard Group.

 

Fiscal Year Ended October 31, 2021: $11,244,694
Fiscal Year Ended October 31, 2020: $10,761,407

 

Includes fees billed in connection with audits of the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(b)           Audit-Related Fees.

 

Fiscal Year Ended October 31, 2021: $2,955,181
Fiscal Year Ended October 31, 2020: $2,915,863

 

Includes fees billed in connection with assurance and related services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(c)           Tax Fees.

 

Fiscal Year Ended October 31, 2021: $2,047,574
Fiscal Year Ended October 31, 2020: $247,168

 

Includes fees billed in connection with tax compliance, planning, and advice services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(d)           All Other Fees.

 

Fiscal Year Ended October 31, 2021: $280,000
Fiscal Year Ended October 31, 2020: $115,000

 

Includes fees billed for services related to tax reported information provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

 

 

 

(e)            (1) Pre-Approval Policies. The policy of the Registrant’s Audit Committee is to consider, and, if appropriate, approve before the principal accountant is engaged for such services, all specific audit and non-audit services provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant. In making a determination, the Audit Committee considers whether the services are consistent with maintaining the principal accountant’s independence.

 

In the event of a contingency situation in which the principal accountant is needed to provide services in between scheduled Audit Committee meetings, the Chairman of the Audit Committee would be called on to consider and, if appropriate, pre-approve audit or permitted non-audit services in an amount sufficient to complete services through the next Audit Committee meeting, and to determine if such services would be consistent with maintaining the accountant’s independence. At the next scheduled Audit Committee meeting, services and fees would be presented to the Audit Committee for formal consideration, and, if appropriate, approval by the entire Audit Committee. The Audit Committee would again consider whether such services and fees are consistent with maintaining the principal accountant’s independence.

 

The Registrant’s Audit Committee is informed at least annually of all audit and non-audit services provided by the principal accountant to the Vanguard complex, whether such services are provided to: the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., or other entities controlled by The Vanguard Group, Inc. that provide ongoing services to the Registrant.

 

(2) No percentage of the principal accountant’s fees or services were approved pursuant to the waiver provision of paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X.

 

(f)            For the most recent fiscal year, over 50% of the hours worked under the principal accountant’s engagement were not performed by persons other than full-time, permanent employees of the principal accountant.

 

(g)           Aggregate Non-Audit Fees.

 

Fiscal Year Ended October 31, 2021: $2,327,574
Fiscal Year Ended October 31, 2020: $362,168

 

Includes fees billed for non-audit services provided to the Registrant, other registered investment companies in the Vanguard complex, The Vanguard Group, Inc., and Vanguard Marketing Corporation.

 

(h)            For the most recent fiscal year, the Audit Committee has determined that the provision of all non-audit services was consistent with maintaining the principal accountant’s independence.

 

Item 5: Audit Committee of Listed Registrants.

 

The Registrant is a listed issuer as defined in rule 10A-3 under the Securities Exchange Act of 1934 (“Exchange Act”). The Registrant has a separately-designated standing audit committee established in accordance with Section 3(a)(58)(A) of the Exchange Act. The Registrant’s audit committee members are: F. Joseph Loughrey, Mark Loughridge, Sarah Bloom Raskin, and Peter F. Volanakis.

 

Item 6: Investments.

 

Not applicable. The complete schedule of investments is included as part of the report to shareholders filed under Item 1 of this Form. 

 

 

 

 

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 the 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: Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.

 

Not applicable.

 

Item 13: Exhibits.

 

(a)(1) Code of Ethics filed herewith.
(a)(2) Certifications filed herewith.
(b) Certifications field herewith.

 

 

 

 

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/ MORTIMER J. BUCKLEY*  
  MORTIMER J. BUCKLEY  
  CHIEF EXECUTIVE OFFICER  

 

Date: December 20, 2021

 

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/ MORTIMER J. BUCKLEY*  
  MORTIMER J. BUCKLEY  
  CHIEF EXECUTIVE OFFICER  

 

Date: December 20, 2021

 

  VANGUARD CHARLOTTE FUNDS
     
BY: /s/ CHRISTINE BUCHANAN*  
  CHRISTINE BUCHANAN  
  CHIEF FINANCIAL OFFICER  

 

Date: December 20, 2021

 

* By: /s/ Anne E. Robinson

 

Anne E. Robinson, pursuant to a Power of Attorney filed on November 29, 2021 (see File Number 33-64845), a Power of Attorney filed on October 12, 2021 (see File Number 33-23444), and a Power of Attorney filed on August 26, 2021 (see file Number 811-02652), Incorporated by Reference.